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+{"text": "A majority of healthcare today occurs in private homes and is performed by older adults and their informal caregivers. However, only recently have we begun to understand more about the healthcare work of older adults and their caregivers and the home as a healthcare delivery system. Work science allows us to conceptualize the healthcare activities of older adults and their caregivers as a type of health-related work that has been conceptualized under the broad term, patient work. Applying a patient work lens can offer a unique perspective to addressing the persistent and pervasive challenges faced by older adults and their caregivers as they manage their healthcare at home and across healthcare settings. I will describe the historical development of the patient work approach and highlight recent efforts to use a patient work approach to understand and support the work of older adults and their caregivers providing care in the home."}
+{"text": "Innovative technology can improve the lives of older adults, including those diagnosed with dementia, and their caregivers. Yet a lack of careful attention to preferences and needs of end-users and continuous updates to resources could leave consumers without a valuable user experience. This symposium will cover exemplar cases of innovative technologies, available resources, and current research. The first presentation will discuss virtual reality used among older adults with dementia and the opportunities to further explore it\u2019s use as an intervention. The second presentation will share the process of seeking stakeholders\u2019 preferences in the design specifications for a socially assistive robot and how the perspectives shaped the development of the Quori robot. The third presentation will focus on detailing the Information Quality Framework for Online Dementia Care Resources. The fourth presentation will discuss the implications of a systematic review that revealed researchers are reporting on all older adults within a category of 65 and older, thus failing to present variance among different older age cohorts. These presentations will all conclude with a discussion on opportunities for improvement in the respective areas."}
+{"text": "We present an algorithm for recovering the PRS behind a sequence of such automata, and apply it to the sequences of automata extracted from trained RNNs using the We present an algorithm for extracting a subclass of the context free grammars (CFGs) from a trained recurrent neural network (RNN). We develop a new framework, Extracting the learned language of an RNN is important to facilitate understanding of the RNN and to verify its correctness. Furthermore, the extracted CFG can augment the RNN in classifying correct sentences, as the RNN\u2019s predictive accuracy decreases when the recursion depth and distance between matching delimiters of its input sequences increases."}
+{"text": "The brain anxiety network is composed of a number of interconnected cortical regions that detect threats and execute appropriate defensive responses via projections to the shell of the nucleus accumbens (NAcSh), dorsolateral region of the bed nucleus of the stria terminalis (BSTDL) and lateral region of the central nucleus of the amygdala (CeL). The paraventricular nucleus of the thalamus (PVT) is anatomically positioned to integrate threat- and arousal-related signals from cortex and hypothalamus and then relay these signals to neural circuits in the NAcSh, BSTDL, and CeL that mediate defensive responses. This review describes the anatomical connections of the PVT that support the view that the PVT may be a critical node in the brain anxiety network. Experimental findings are reviewed showing that the arousal peptides orexins (hypocretins) act at the PVT to promote avoidance of potential threats especially following exposure of rats to a single episode of footshocks. Recent anatomical and experimental findings are discussed which show that neurons in the PVT provide divergent projections to subcortical regions that mediate defensive behaviors and that the projection to the NAcSh is critical for the enhanced social avoidance displayed in rats exposed to footshocks. A theoretical model is proposed for how the PVT integrates cortical and hypothalamic signals to modulate the behavioral responses associated with anxiety and other challenging situations. Anxiety is an ethologically advantageous emotion that maximizes survival because it promotes avoidance of potential harm in situations where dangers can emerge quickly . It is cThe present review presents evidence that the paraventricular nucleus of the thalamus (PVT) may be a critical node in the brain anxiety network. Anatomical details of how the PVT is connected with many components of the brain\u2019s anxiety network are presented as well as recent evidence showing that neurotransmission to the PVT from orexin neurons in the hypothalamus contributes to stress-induced anxiety. The review also discusses recent anatomical evidence that shows that neurons in the PVT provide divergent projections to key striatal-like subcortical regions involved in the various defensive responses. Finally, a model is described that postulates that the PVT integrates and amplifies cortical signals related to threats and relays these signals to activate subcortical circuits that modulate defensive responses including avoidance of potential threats.impending threat and is often experimentally defined in rodents as freezing to conditioned cues or contexts. In contrast, anxiety is a response to potential threats and is operationally defined as avoidance of potential risks involving open spaces, bright lights, and novel conspecifics peptides are exclusively found in neurons of the lateral and perifornical region of the posterior hypothalamus . The bio2-panic provocation model of panic anxiety (Experimental evidence indicates that orexins are involved in fear and anxiety. For instance, systemic administration of a non-specific orexin receptor antagonist reduces fear potentiated startle and the increases in heart rate and blood pressure that are produced when rats are placed in the context previously associated with footshocks . Researc anxiety . Another anxiety . There i anxiety .The areas of the brain where the orexin peptides or antagonists act to modulate anxiety and fear remained largely unexplored until recently. Orexin fibers and receptors are found in many of the regions of the anxiety network including the BSTDL and CeL and admiIn summary, stress and anxiety are complementary states that engage many of the same neural circuits . Orexin There is experimental evidence that the PVT mediates freezing to conditioned tones as well as the immediate anxiogenic effects of footshocks via a prNeurons in the NAcSh and cEA integrate signals from a number of sources including the thalamus, cortex and other areas of the brain resulting in the selection and expression of appropriate behavioral responses via activation of multisynaptic descending pathways . This caThe model emphasizes the hypothesis that the PVT integrates top-down signals related to potential threats with bottom-up signals related to emotional and behavioral states to energize defensive responses by activating descending pathways in the NAcSh and cEA. Cortical areas where the memory of aversive experience is processed and stored would provide the key signals that trigger striatal neurons to generate defensive response. The model advances the view that the PVT receives and integrates threat-related signals from the cortex along with behavioral or emotional state signals from the hypothalamus and brainstem. In this model, the PVT serves to integrate threat and situational information in a way that promotes appropriate defensive responses via its divergent projections to the NAcSh and cEA. The model also proposes that the PVT serves to promote or amplify the influence of the cortex on subcortical regions. The proposed model is focused on how the PVT regulates defensive behaviors. Nonetheless, the model is also pertinent for understanding how the PVT mediates appetitive behaviors. For example, recent evidence shows that signals from orexin and prelimbic cortical neurons converge and act at the PVT to modulate reward seeking responses to cues in a manner similar to what is predicted by the model .Going forward it will be important to design experiments in which the contribution of the PVT on complex behavior can be examined in experimental situations where both appetitive and aversive outcomes are possible as recently done by some research groups . It woulThe author confirms being the sole contributor of this work and has approved it for publication.The author declares that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Engineering genetic material for treatment of disease is a promising method which has been used for the treatment of different human pathologies for several decades contains atypical microRNA2911. This Chinese herb is used for treating influenza infection and the authors have provided evidence to show that this microRNA directly targets influenza virus and is the active ingredient of honeysuckle herb for the treatment of flu . The exact biological manifestation of many of these ncRNAs are yet to be discovered is another possibility.D. discoideum needs to go through cycles of multicellular development is a speculation that during the multicellular phase in which cyclic AMP signals, some novel ncRNAs might develop. The behavior of prestalk and prespore cells are different and novel genetic material might be eliminated in the cycle through sloughing off of the stalk cells. In summary D. discoideum is a promising model to examine how the symbiont fends off a novel pathogen (mainly a virus) for which the amoeba does not have a well-established defense mechanism.This suggestion that The efforts of using CRISPR-Cas9 technology for human gene editing and treatment of viruses is opening a new horizon for novel treatment methods. However, still there are several steps to take before we can safely and effectively use this technology for a viral infection treatment. Here I suggested a theoretical framework of using symbiotic relation between prokaryotes and eukaryotes for generating RNA-based therapeutics which might be used in human as well. This approach entails exposing the symbiont to a bacteriophage and searching for new genetic materials which are produced to eliminate the infection in the whole symbiont.The author confirms being the sole contributor of this work and has approved it for publication.The author declares that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "The authors recently reported on the potential of targeting SRC kinase signaling in pancreatic cancer stem cells . During This error does not affect any of the data or conclusions in the article, and all densitometric analyses remain the same. The authors apologize for any confusion this error may have caused to the readers."}
+{"text": "After this article was publPLOS ONE\u2019s Editorial Board confirmed that the replacement blot images support the results and conclusions as reported in the article.The authors commented that these experiments were repeated about three times at the time of the original experiments, and this duplication in the published figure may have arisen due to errors in preparing the figure. The authors have provided replacement data from a different replicate of the Mitochondrial fraction CytC and VDAC blot experiments, along with an updated version of the graph in In addition, the authors clarified that in preparing Figs The raw blot images for the S1 File(TIF)Click here for additional data file.S2 File(DOCX)Click here for additional data file."}
+{"text": "In this first stage of an 8 state initiative designed to assist nursing homes in reducing unnecessary hospital readmissions, 16 nursing homes were identified and invited by CMS and state agency advisors to participate in the pilot study of the effects of intervention (use of the Guide). Selected facilities received an online orientation to the project and onsite visit from project team leadership prior to launch. Pre and post implementation data were uploaded to a secure section of the project website by the facilities. Three facilities withdrew due to change in top management and a fourth facility provided incomplete data resulting in data for analysis from 12 pilot facilities. Results show the average reduction in readmissions was 31.2% for the project period as compared with the 3-month pre-project period. This presentation will include facility reports of the effect of Guide use on resident and family decision making."}
+{"text": "The elucidation of better treatments for solid tumors and especially malignant glial tumors is a priority. Better understanding of the molecular underpinnings of treatment response and resistance are critical determinants in the success for this endeavor. Recently, a battery of novel tools have surfaced that allow to interrogate tumor cell metabolism to more precise extent than this was possible in the earlier days. At the forefront of these developments are the extracellular flux and carbon tracing analyses. Through utilization of these techniques our group made the recent observation that acute and chronic c-MET inhibition drives fatty acid oxidation that in turn can be therapeutically targeted for drug combination therapies. Herein, we summarize and comment on some of our key findings related to this study. In the 1920s of the last century biochemist Otto Warburg made the remarkable and astonishing discovery that malignant cells heavily utilize glucose and metabolize it to lactic acid despite the presence of sufficient oxygen , 4. In t"}
+{"text": "MyCovenant. The data deals with the Monitoring Emission Inventories submitted by local authorities by 2016. Data has been processed and elaborated to highlights specific features of signatories and the policies they have adopted in the development of their Sustainable Energy Action Plans (SEAP). Available data relates to the mitigation policies in the SEAPs and includes their carbon reduction potential, the status of implementation and the class of governance. The CoM gathers together thousands of local authorities who voluntary committed to decarbonisation and increase resilience in their territory. Therefore, this data can be of interest for local policy makers and urban planners to identify successful examples in cities with comparable contexts and to identify possible measures in several sectors for climate change mitigation.This data article relates to and complement the research paper: \"Assessment of climate change mitigation policies in 315 cities in the Covenant of Mayors initiative\" Specifications TableValue of the DataThe data gives quantitative and qualitative information on the local mitigation policies implemented to achieve the 20% carbon reduction target by local authorities which are part of the Covenant of Mayors up to 2016Climate change research, local government, policy makers, urban science are the fields where this data provides valuable information.Data can be used for comparisons with other data on local policies, for investigation on climate change mitigation and adaptation, for further analysis. Urban planners and local policy makers can benefit from the dataThe data supports regular evaluation of the carbon reduction target within the CoM initiative and the sharing of successful approaches and methodologies.The data gives insight on mitigation policies in different sectors adopted in local authorities across Europe.11-\u201cSignatories\u201d: the information on local authorities 2-2), the responsible local organisation for the implementation and the status of implementation.\u201cPolicies\u201d the mitigation policies included in the MEIs submitted by local authorities, with specification on sectors , mode of governance, the corresponding carbon reduction potential (tCOCities play a key role in the climate challenge and are the place where local experimental governance aiming at meeting low carbon objectives can be tested In particular, the variables included in the dataset are:2The experimental design of the study is to relate the local authorities\u2019 characteristics with their planned mitigation policies and the governance approach. Detailed studies and investigation on multi-level governance and policies were previously developed and investigated to base the structure of the analysis ,6. The dThe authors declare that they have no known competing financial interests or personal relationships that could have appeared to influence the work reported in this paper."}
+{"text": "The recruitment of participants for chronic disease clinical trial research is often challenging. Further complicating participant recruitment occurs when the intervention is dyadic . Despite the strong support in favor of dyadic interventions for certain chronic diseases , researchers have not systematically shared challenges and opportunities for dyadic recruitment. During the recruitment for a yoga and self-management education intervention for people with chronic pain and their caregivers, several steps were taken to recruit and screen potential participants for the study. In this presentation, we will provide an overview of common recruitment challenges for physical activity and chronic disease self-management studies as well as the actual challenges encountered and our procedures for overcoming these obstacles. We will present our consort figure with attention toward inclusion and exclusion criteria of both care receivers and caregivers. Additional discussion will include specific challenges encountered when recruiting and screening caregivers . The need for innovative clinical trial research with caregivers and care recipient dyads is essential as new care practices continue to evolve and demands on health care utilization increase. Lessons learned from this study may prove useful for future researchers as they embark on developing and testing dyadic interventions among adults with chronic disease and their caregivers."}
+{"text": "Employers are facing significant demographic changes in their workforce as the US population continues to age and older workers seek to delay retirement until later ages. The challenges associated with workforce aging vary substantially across the economy and vary by industry, occupation, and size of the organization. This analysis highlights the findings from employer surveys and workshops of senior HR leaders. The article summarizes the findings from our three-year research project including whether employers perceive that workforce aging is a challenge to their organization and if so, what changes in compensation and working conditions are being made to accommodate the changes in age structure"}
+{"text": "With this notice, Frontiers states its awareness of concerns regarding the validity of the participant data in this study. An investigation is currently being conducted by Kashan University of Medical Sciences research ethics committee. This expression of concern has been posted while Frontiers awaits the outcome of that investigation and will then be updated accordingly."}
+{"text": "Has American society become more socially disconnected as Robert Putnam argues in Bowling Alone? Claude Fischer disputes this contention with evidence that Americans remain about as connected to friends and family as in the past. We address this debate with data for older adults from the National Social Life, Health and Aging Study, collected in 2005, 2010, and 2015. We compare social participation as reported at ages 57 to 68 for members of the Silent Generation cohort vs the Baby Boom cohort. We find that the gender gap in social participation evident for the Silent Generation does not exist at all for younger Baby Boomers, only appearing after age 62. These same cohort differences appear for participation in religious services and organized groups. This suggest that the gendered separation of social roles that characterized older generations is becoming less pronounced, with implications for social support and social isolation."}
+{"text": "Asking older adults What Matters to them and assuring that care plans are aligned with these preferences is the cornerstone of an Age-Friendly Health System (AFHS). Health systems have struggled to identify clear ways to ask this question and meaningfully utilize the responses. Both simple and complex options for addressing this challenge have been developed at Rush University Medical Center. At Rush, nurses began asking every inpatient What Matters and placing the response on the white board in the patient\u2019s room. Results of this practice include increased awareness of staff and significant increases in patient satisfaction. Qualitative analysis of responses yields increased awareness of patterns that the hospital can more systematically address. The Rush Center for Excellence in Aging hosts Schaalman Senior Voices, in which older adults from diverse backgrounds are given the unique opportunity to offer their perspectives on life, health and aging related to \u201cWhat Matters\u201d to them. The films have been used effectively to stimulate conversations among older adults and families in the community and in health professions courses, and with health systems executives. The Rush College of Medicine has integrated AFHS training into communication skills for medical students. Faculty introduce the 4Ms and demonstrate methods for having What Matters (WM) conversations. Students then practice WM conversations with simulated patients; some have had the opportunity to practice with real patients in preceptorships. Implications for the health system and community will be discussed as Rush builds an Age-Friendly Health Community."}
+{"text": "This data article presents supplementary material for our report \u201cRole of obstetricians in promoting pregnancy-related knowledge among women with epilepsy in Japan\u201d . To provide more effective preconception counseling and perinatal care, we surveyed the attitude of epileptologists and obstetricians about pregnancy-related issues in women with epilepsy (WWE). Obstetricians said they needed information from epileptologists about seizure for management of WWE. Half of epileptologists did not feel the need to communicate with obstetricians before their patients\u2019 pregnancy; they only contacted obstetricians after their patients became pregnant, and they only referred patients to an obstetrician if requested by the patient. Specifications TableValue of the Data\u2022This dataset provides the viewpoints of epileptologists and obstetricians toward pregnancy-related issues of WWE.\u2022These data help readers to understand present issues and the need to build a system of coordination between epileptologists and obstetricians.\u2022These data, obtained from epileptologists and obstetricians, provide additional insight to the accompanying article 1The data in this article consist of additional figures and tables provided in a report 2We mailed questionnaires and consent forms. In total, 115 epileptologists returned the questionnaires and 187 obstetricians returned the survey . Data were collected from May to June 2019.3Informed consent was obtained from respondents, and all procedures performed in the study were in accordance with the principals of the Declaration of Helsinki. This study was approved by the Medical Research Ethics Committee of Tokyo Medical and Dental University (M2018\u2013290).The authors declare that they have no known competing financial interests or personal relationships which have, or could be perceived to have, influenced the work reported in this article."}
+{"text": "Many Chinese older adults suffer from oral health diseases and problems due to low oral health literacy, limited dental coverage and lack of dental care services for this segment of the population in China. However, so few studies have been conducted to examine social and behavior factors related to oral health among Chinese older adults. This symposium examines how socioeconomic status (SES) and health behaviors are associated with oral health among Chinese older adults. The first paper used the Nanjing Centenarians Study to examine the association between health behaviors and oral health among Chinese centenarians. The results showed that health behaviors were associated with self-rated oral health and edentulism. Using the Chinese Longitudinal Healthy Longevity Survey, the second one employed an \u2018after death\u2019 approach to examine risk factors for orofacial pain symptoms at the end of life among Chinese older adults. The third paper investigated the association between SES and tooth loss among middle-aged and older adults in ten cities of China. SES played a stronger role in tooth retention for non-migrants and migrants with high education vs those migrants with low education. The last paper examined the association between health behaviors and retention of teeth among Chinese older adults using data from the Chinese 4th National Oral health Survey. This symposium provides empirical evidence on the current status of oral health and health behaviors at the national level, and also suggests that is critical to improve oral health education and access to dental care."}
+{"text": "In the original article, we neglected to acknowledge the HRSM project NANOBILD for infrastructure support. The corrected acknowledgment statement appears below:The authors thank Dietmar Pum for technical advice and acknowledge the HRSM project NANOBILD for infrastructure support.The authors apologize for this error and state that this does not change the scientific conclusions of the article in any way. The original article has been updated."}
+{"text": "Home and Community Based Services has grown as an alternative to nursing homes over the past 30 years. While there are extensive data on nursing home staffing, there is a dearth of similar information about Medicaid financed home care. We use data from 2014-2016 Pennsylvania Medicaid to examine personal care for elderly with and without dementia across the range of physical disability. One challenge is that even though physical function can be measured in terms of discrete tasks , analysis of the amount of care people receive has to take into account the combination of dementia and combinations of ADL limitations. We found that older adults with dementia receive one hour more of personal care per day at the lowest level of disability and 1.5 hours at the highest level. The increased need for caregiving hours should be incorporated into policies that guide HCBS programs."}
+{"text": "Major causes of brachial plexopathy in patients with breast cancer are metastatic invasion or radiation damage to the plexus. Differentiation between the two pathologies is important for appropriate treatment planning. The complicated anatomy of the plexus makes this a difficult area to image accurately. Magnetic resonance imaging (MRI) is the imaging modality of choice for diagnostic evaluation of these cases. We presented a case to demonstrate the role of"}
+{"text": "With the passage of the new \u201cSupporting Older Americans Act of 2020,\u201d Congress acknowledged and address several under appreciated issues -the growing social isolation and loneliness of older adults, and the significant role that the aging network does and can play in providing supportive services to older adults with advanced illness . This presentation will provide information on these and other pieces of the OAA puzzle."}
+{"text": "Immunosenescence is described as a decline in the normal functioning of the immune system associated with physiologic ageing. Immunosenescence contributes to reduced efficacy to vaccination and increased susceptibility to infectious diseases in the elderly. Extensive studies of laboratory animal models of ageing or donor lymphocyte analysis have identified changes in immunity caused by the ageing process. Most of these studies have identified phenotypic and functional changes in innate and adaptive immunity. However, it is unclear which of these defects are critical for impaired immune defense against infection. This review describes the changes that occur in innate and adaptive immunity with ageing and some age-related viral diseases where defects in a key component of immunity contribute to the high mortality rate in mouse models of ageing."}
+{"text": "From the grassroots development of creative aging research to broad base community collaborations that address the issues of today and tomorrow, this presentation will illustrate how state departments of aging and state arts agencies can combine to partnership with research universities to demonstrate the efficacy of the arts to mediate problems of loneliness, isolation and caregiver stress. This case study will show how resources can be expanded and effective practices established through community based research to find ways to build healthy and engaging communities that serve to break down the barriers of isolation and promote social networks."}
+{"text": "It is important to predict the environment around the breathing human because inhalationof virus is recently severe worldwide problem, and air pollutioncaused by diesel emission particle (DEP) and asbestos attract a great deal of attention.In the present study, three\u2010dimensional numerical simulation was carried out to predictunsteady flows around a breathing human and how suspended particulate matter reaches the human nose in inhalation and exhalation. In the calculation, wefind out smaller breathing angle and the closer distance between the human nose andpollutant region are effective in the inhalation of SPM."}
+{"text": "Arts programming can address chronic conditions prevalent among older adults. An overview of an implementation of the revised nationwide Opening Minds through Arts (OMA) program anchors the symposium. The paper reports an implementation by an area university and an eldercare facility to recruit and train student volunteers to collaborate with persons living with dementia, and create paintings for a public exhibition. The Arts for a Lifetime Program used bi-weekly student led programming in a long-term care community; the paper includes an overview of materials used throughout the program and reports resident preferences for materials. A report of results of an ethnographic investigation of the impact of creative aging fine arts programs on older adults adds information about how participation might influence the older person\u2019s self-esteem or perceptions of aging. The presentation about creation of music modules investigates the potential of music therapy for the promotion of healing for older adults managing pain. The final paper describes the methodology lessons learned from ARTmail, a community engaged study of the benefits of a structured participatory arts program for older adults with memory symptoms or cognitive impairment. Presentations in this symposium inform identification and development of opportunities to create and engage in meaningful experiences with older adults."}
+{"text": "Communication models describe the flow of signals among nodes of a network. In neural systems, communication models are increasingly applied to investigate network dynamics across the whole brain, with the ultimate aim to understand how signal flow gives rise to brain function. Communication models range from diffusion-like processes to those related to infectious disease transmission and those inspired by engineered communication systems like the internet. This Focus Feature brings together novel investigations of a diverse range of mechanisms and strategies that could shape communication in mammal whole-brain networks. How does a massive network of neurons give rise to intercommunication across the entire brain? As advances are made in understanding mammalian brain network structure . However, this does not mean that a subset of nodes cannot exert strong influence on the entire network. The Focus Feature concludes with two papers that consider the role of controllability, a notion borrowed from the study of dynamical systems in physics. Controllability in networks captures the degree to which network dynamics can be driven by a small subset of nodes.Patankar et al. examine Finally, Srivastava et al. provide This collection of studies broadens the range of communication models in brain networks and highlights novel structural and functional demands that are likely at play. One can expect that this work will lead to further blossoming in this area of investigation and a deeper consideration of network communication in other areas of brain science."}
+{"text": "Background: Children and adolescents are especially vulnerable to mental, neurological and substance use disorders during various stages of their growth and development. They often require specialized personnel whose training is time consuming and costly. Consequently many children and adolescents remain untreated in developing countries. This paper describes steps Uganda is taking to develop local capacity for child and adolescent mental health services through training of multi-disciplinary teams.Methods: A 2 year training programme was introduced in accordance with the Ugandan Ministry of Health Child and Adolescent Mental Health Strategy. This had been jointly developed in 2008 by Mbarara University of Science and Technology, Makerere University, the Uganda Ministry of Health and East London Foundation NHS Trust, United Kingdom (UK). The initial funding for the programme focused on monitoring and evaluation of the training, quality of clinical practice and clinical activity data.Results: Fifty health workers have been trained and are now working at regional referral hospitals and non-governmental organizations. Monitoring and evaluation demonstrated major increases in the range of disorders and client numbers over 6 years. There was increased confidence, knowledge and skills in assessment. Learning in a multidisciplinary environment was interesting and helpful. Assessments were more thorough and child centred and more psychological treatments were being used. Programme graduates are now contributing as trainers.Conclusion: The clinically focused multidisciplinary training has yielded rewarding outcomes across Uganda. Ongoing support and collaborative work can expand service capacity in child and adolescent mental health for Uganda and other developing countries. Children and adolescents are vulnerable to certain specific mental, neurological and substance use disorders (MNS) due to their incomplete physical, mental and social growth and development \u20133. The mChildhood MNS disorders have unique presentations and their treatment differs significantly from those disorders first presenting in older adolescents and adults \u201314. ThesIn Uganda many children suffer psychological trauma from war, abuse and bereavement but in common with other LMICs , few chiStigma is one of the challenges facing children and adolescents with mental disorders , especiaThis paper describes steps Uganda is taking to develop local capacity for child and adolescent mental health services through training of multi-disciplinary teams with the introduction of a university accredited Advanced Diploma in CAMH for public health workers and national CAMH policy guidelines. The process, achievements and results of UK project monitoring and evaluation are described with discussion of challenges faced and relevance to other LMICs.In 2008 a national strategy for child and adolescent mental health in Uganda was developed by a partnership of the Faculties of Medicine of Mbarara University of Science and Technology, Makerere University, Ugandan Ministry of Health and the Butabika East London Link . The aims of the strategy were to develop a specialist child and adolescent mental health service for Uganda by providing dedicated out-patient and in-patient care with trained specialists at regional level and developing a multi-disciplinary workforce that can train professionals in health and education at district level to recognize child mental health problems and educate the population in prevention. The core requirement of the strategy was specialist training. In order to introduce a national training programme four Ugandan professionals were trained in the UK on Commonwealth Scholarships when a draft curriculum was jointly drafted.The Butabika Link East London Link obtained funding for two projects (2012\u20132017) from the Health Partnership Scheme of the Department for International Development, UK government, to develop and implement a multi-disciplinary training programme in CAMH for mental health and child health professionals in Uganda. The majority of the training in the initial course was provided by UK CAMH professionals but the second project evaluated the delivery of the course by the new cohort of trained Ugandan professionals and secured university accreditation from Mbarara University of Science and Technology as the Advanced Diploma in CAMH. The initial training programme was preceded by a training the trainers course and further training of trainers took place in preparation for the Ugandan led course. Exercises, focus groups and discussion allowed for anxieties about the heterogeneous nature of the multidisciplinary participants to be considered and managed during the training programme.The Butabika Link East London Link obtained additional UK government funding for two smaller projects (2016\u201318) to assist the Ugandan Ministry of Health and CAMH professionals to develop, launch and implement a national CAMH Policy.The diploma is a 2 year modular programme with the six first year courses providing basic training that focus on practical skills in child and family assessments, and recognition and management of mental disorders in children and adolescents. The first year of the training serves as a foundation for the second year courses which focus on psychological therapies, clinical supervision, training, service development and research. Each module consists of 5 days of classroom teaching at the Butabika School for Psychiatric Officers followed by 5 days of clinical experience in the specialist children's ward at Butabika Hospital. The trainees are expected to focus on assessing and treating children and adolescents in their workplace between modules and to complete case studies, a logbook and a research or audit project. As well as written examinations for each course, clinical and teaching skills are examined. The programme provides training that equips trainees with the knowledge, clinical, teaching and managerial skills to provide care, develop child mental health services and to train others. The criteria for admission to the programme include commitment, professional mix and regional representation, and ability to teach others. Previous training/expertise and interest in child and adolescent mental health are key.Apart from assessment of the trainees' academic and clinical performance, M&E for the training projects consisted of evaluation of the quality of the course by trainees together with evaluation of the impact of the training on service delivery and quality of clinical work over 6 years. Baseline activity data was collected at the four teaching hospitals at the start of the first project and as trainees joined the course from other locations an M&E coordinator collected the number of child attendances per month from a professional at each site by age group for out-patient attendances and admissions. This included a record of children seen by both CAMH and non CAMH staff. The number of dedicated clinics for children and of CAMH trained staff at each location was recorded.The quality of clinical work was assessed on an individual basis during clinical training and examined twice. A sample of the twenty most recent case notes for outpatient attendances or admissions were assessed annually at each of four main sites using a case note monitoring form. This recorded patient demographics, diagnosis, assessing professional (CAMH trained or not), indicators of quality of assessment , management and appropriate use of medication (no prescription when not indicated). For follow ups it recorded use of psychological treatments, reviews of diagnosis and management including medication side effects.The first two diploma cohorts funded by the projects completed their training in 2015 and 2017. Since then the first and second year courses have been running simultaneously allowing a new cohort to graduate each year with more efficient use of teaching resources. Fifty health workers from various medical backgrounds have been trained since 2012 and are working with children at various regional referral hospitals. These comprise two psychiatrists, one medical officer, ten psychologists, sixteen psychiatric clinical officers, twelve nurses, two occupational therapists, five social workers/counselors, one public health officer and one human resource officer . These new cohorts of trained CAMH professionals have been able to contribute to the training programme, provide peer \u2013 peer mentoring and supervision as well as providing clinical assessments and management of children with mental health and developmental disorders at their work places .Monitoring and evaluation of the training programme showed that following the training, the trainees developed increased confidence, knowledge and skills in assessment and management of mental health problems in children and adolescents and in teaching and presentation skills. All the trainees study together but different professional groups have varied levels of experience related to topics in the programme and share their knowledge and experience. The roles of specific professions are discussed in depth at the end of the programme (for example psychometric assessment for psychologists). Initially the professionals found learning in a multi-disciplinary group unfamiliar and some were uneasy about different educational levels, for example between doctors and nurses. The training groups quickly became cohesive and mutually supportive which was crucial for trainees working in isolation around the country. Individuals spontaneously commented how valuable it was to train with and learn from other professionals from social work, psychology, occupational therapy, counseling, and child health. This enriched trainees' knowledge and skills through shared experiences and they came to see the importance of developing a multidisciplinary and inter-professional environment in child mental health services.Some quotes from trainees following clinical placements includedI am building more relationship with my clients and they keep the appointments. I have noticed that the way we ask questions is indeed very important and that when you begin the interaction with your clients with a smile and have a smile during and at the end of the session it becomes more therapeutic. Please members let us try it!!!\u201d (CAMH Trainee)\u201cI did receive a child aged 13 yrs with history of shaking the right arm for about a month. I applied the skills that I had learnt including questioning skills, history taking, and genogram. I was amazed when the mother commented that she had never met a doctor who could ask her such questions. She was impressed and interestingly the girl left my clinical room when the shaking had stopped. The mother telephoned me yesterday thanking me and saying that the girl has been free from shaking for the last five days.\u201d (CAMH Trainee)\u201cI would like to thank you for all the efforts, work and time that you have dedicated to our training. Surely there is no enough thank you or reward that I can give, except results of the practice of the skills that I have learnt over this period of time. At my new workplace, all my colleagues know that I have speciality in CAMHS and have been booking patients for me which is a great start in a new place.\u201d \u201cThe course in child and adolescent mental health provided a deserving opportunity for the first trainees in Uganda to acquire knowledge and skills in this field so as to provide a service that was previously non-existent in most hospitals in this country. The course content effectively addressed the common mental health problems in children and adolescents in our community. In future trainings more emphasis should be placed on psychotherapies, family therapy and child protection. There is however, a huge need for child and adolescent mental health service in this country and therefore the need to train more child and adolescent mental health specialists.\u201d .\u201cThe final project was completed in 2019 and monitoring and evaluation for the projects demonstrated that, since the start of the Diploma course in 2012, the number of sites with a trained CAMH professional increased from 4 to 24 with all regions of the country represented. The number of children seen in their services increased from 2,184 to 31,034 .The development of multidisciplinary teams has so far been confined to the university hospitals while CAMH trained mental health and child health professionals provide much of the service to children in regional hospitals and health centres around the country as well as continuing to see adults. Despite there being just one or two CAMH staff at these units, most were able to set up specialist CAMH clinics by dedicating specific clinic days for children. The specialist multidisciplinary teams at the national referral hospitals in Kampala, Butabika, and Mulago, have been able to provide daily specialist CAMH outpatient services and a large children's inpatient service at Butabika, A few CAMH Diploma graduates have been employed by NGOs to work with refugee children mainly in Northern Uganda where their skills have also been utilized extensively in staff training.In addition to the substantial increase in children attending services, examination of clinical records showed more children were having thorough child centred assessments, and there were increased numbers and range of non-epilepsy diagnoses compared to baseline findings. The improved quality of assessments by CAMH trained staff compared with assessments by other mental health professionals included the recognition of co morbidity in epilepsy cases, less medication used, more appropriate medication used, increased use of psychological treatments and more revisions of diagnosis and management for cases seen by non CAMH professionals. For example, assessments now included observation of the child, child's views, their drawings, and observations of family relationships accompanied by a drawing of the family genogram. Less medication was being prescribed whereas before the training, most children with mental health problems were given psychotropic medication due to lack of adequate knowledge of psychological treatments. All pioneer graduates of the programme have been equipped with training skills through training the trainers courses and have been providing training for large numbers of health and primary care workers, teachers and community groups in their local areas.Peer support supervision has been piloted over 2 years around the country and has worked well to support CAMH workers in the regions and provide continued professional development for local health professionals. There has been great enthusiasm for continuing the 2 day events but sustaining them without funding for transport is a problem. Butabika Hospital already has a professional supervision system for PCOs working in the regional hospitals and funding has been sought from the Ministry of Health for a separate specialist supervision system for CAMH workers.In 2017 the Ministry of Health launched the Ugandan Policy for Child and Adolescent Mental Health . Other aThis training is timely, not just being academic but responding to one of Uganda's biggest public health problems. It is a speciality that needs to be recognised and embraced at all levels\u201d .\u201cResearch interest in the subspecialty has been generated and the development and launch of CAMH policy was a great achievement...... I hope that people will come from neighbouring countries as this training programme is the first of its kind in the region\u201d .\u201cAn independent value for money assessment of the first training project was commissioned by the Tropical Health Education Trust . It concDevelopment of the CAMH training programme in Uganda and a multidisciplinary service for most regions of Uganda has had a major impact on the numbers of specialist CAMH staff, attendances by children with mental health problems and the quality of treatment received but has not been without challenges. The extensive preparatory work, need for external funding, achievement of university accreditation and current challenges in relation to workload and sustainability are relevant to the development of specialist clinical training programmes in other LMICs , 22, 25.Following the strategic work that took place with the Ministry of Health in 2008, before the training programme could start in 2012, it was necessary to train four key staff in the UK on Commonwealth Fellowships, develop a curriculum to meet university regulations and secure funding for the first UK funded training project. The first two fully funded groups graduated in 2015 and 2017 but university accreditation for the Advanced Diploma in CAMH was not achieved until 2017.The Ministry of Health has recognized the diploma as the specialist qualification for child mental health posts in Uganda and this has been supported by the introduction of the MOH Policy for CAMH and its Prior to the training programme very few children attended mental health services and those who did mainly suffered from epilepsy and intellectual disability. Training of local hospital and community health staff by CAMH professionals and public education through the media and community groups has resulted in increased recognition and referral of a range of mental health problems. This presented anticipated challenges , 28, witIn such overstretched services with few staff almost half of child cases were still seen by non CAMH staff although we found that younger children and new cases were more likely to be seen by CAMH staff. It has been important to prioritize new cases and young children for specialist CAMH assessment. Adult trained staff are familiar with the management of older adolescents with psychosis, affective disorders or substance misuse.Because of the large and growing child population in Uganda including many refugees with high levels of need, it is important to train more child and adolescent psychiatrists, accessible in rural areas, to support CAMH professionals working in isolation as well as pediatricians and child health workers who see many children with mental health problems. They can be recruited from both psychiatry and child health.General adult psychiatrists are eligible to undertake the training to become child and adolescent psychiatrists and we continue to lobby the MOH to support posting of medical officer special grade (psychiatry) to the regional and district hospitals. Those interested in providing CAMH services may then access the MOH scholarships for the Advanced Diploma in CAMH. Since the training programme was opened to child health professionals a medical officer and a clinical officer in child health have graduated. Pediatricians and medical officers in Uganda and sub Saharan Africa have shown interest in the training and some of these may then undertake psychiatric training in order to be eligible for consultant posts. To this end it will be important to publicize the training to attract international applicants from countries with few trained CAMH staff.In addition to trained doctors, a sustained increase in the capacity of the multidisciplinary CAMH workforce will be essential because of the growing volume of work and the unmet need for access to specialist CAMH services in all regions of Uganda. Priority for training and scholarships will need to be given to individuals from different professional backgrounds and from poorly served parts of Uganda. The provision of scholarships and the development of specialist CAMH posts will be essential for public health workers who so far have shown tremendous commitment to the specialty and have been very active in training their colleagues and community workers.The continued implementation of the national CAMH policy is crucial and, as part of this, CAMH professionals have provided training and held meetings with local directors of regional hospitals. Mental health services in the regions have many unfilled posts and the local promotion of child mental health awareness is vital to convince hospital directors of the need to appoint CAMH staff and to designate vacant posts for CAMH.Financial sustainability of the course has been a major challenge since the two UK funded training projects ended because public health workers for whom the course was designed, have low salaries and cannot afford the modest university fees, internet and travel costs. Provision of free residential accommodation at Butabika Hospital during the teaching modules has been invaluable for trainees outside Kampala. There were delays in securing scholarships for university fees through the Ministry of Health and in the transference of funds to the teaching institution affecting payment of course expenses and teaching fees. CAMH trainers experienced financial stress while balancing their teaching contribution with demanding service responsibilities. Long term reliable sponsorship for university fees is required otherwise the number of public health workers who can be trained will be limited.Like Uganda many LMICs have a young population with high percentages of children in need of specialist child and adolescent mental health services \u201317, 19. For LMICs planning to develop child mental health services through their own training programme we can make some recommendations drawn from our experiences over 12 years. It would be important to train a few key individuals in CAMH in advance to take both a training and strategic lead in order to develop a countrywide initiative, with support from and involvement of the ministry of health at an early stage. A teaching site ideally in proximity to a clinical training base where large numbers of children can be seen needs to be identified. Rather than a pure academic focus, the training programme needs to aim to develop a high level of clinical skills with associated knowledge and understanding for professionals working in public health services. Ideally it should be linked to a university as soon as possible as obtaining academic approval for such a specialist course was in our experience a long drawn out process. While the programme's demands meant that it could have been offered as a postgraduate master's degree, it was important to be able to recruit a multidisciplinary group including nurses from services throughout the country hence its designation as an advanced diploma. The modular design works well but thought needs to be given to the provision of accommodation and food with the possibility of scholarships to enable low paid health workers to attend. At the outset some seed funding and sponsorship would be likely to be required. We were fortunate to have UK government funding with UK volunteers to develop and evaluate the programme and associated government policy but we hope that other countries will be able to make use of our resources and experience to develop child mental health services themselves .The ongoing partnership with East London provided continued opportunities for long term volunteers from UK and other -high income countries to come to Uganda to support the CAMH programme contribute to training the trainers, deepen skills in psychological therapies and to further develop Butabika as a centre for clinical training. They have benefited from the opportunity to develop new skills in cross cultural working and project management and also to conduct research programmes. The relationships established have proved mutually beneficial with continued electronic and telephone communication to support the training programme.Initial steps to train a cohort of CAMH professionals in Uganda have yielded rewarding outcomes. With collaborative effort over time, it proved possible to develop multidisciplinary teams for both urban centres and rural areas through the national and regional referral hospital system. These multi-disciplinary professionals have been able to improve both access to and the quality of mental health services for children and to train others in their local hospital and community services even when working in isolation. The multidisciplinary nature of the programme implies that different categories of staff can be trained; and recently this has included some professionals providing general health care in rural health centres where they can easily be accessed by the rural communities. This means that communities can be trained to identify children with mental health problems as early as possible and refer to appropriate services within their communities or regional centres.grukundo@must.ac.ug.The data analyzed in this study is subject to the following licenses/restrictions: The raw data from which the article has been written will be available on request to the authors. Requests to access these datasets should be directed to Godfrey Zari Rukundo, Ethical review and approval was not required for the study on human participants in accordance with the local legislation and institutional requirements. Written informed consent from the participants' legal guardian/next of kin was not required to participate in this study in accordance with the national legislation and the institutional requirements.GR wrote the first draft of the article. The rest of the authors JN, PO, and AH contributed significantly to the writing of the final paper, improving on the draft. All authors contributed to the article and approved the submitted version.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Following publication of the original article , the autThis has since been corrected in the published article and the corrected names may be found in this correction.The publisher apologizes for any inconvenience caused."}
+{"text": "Ongoing innovative preclinical research and development provide a rationale for studying new diagnostic and treatment approaches in inflammatory and autoimmune diseases, diabetes, paralysis and other disorders. Bioelectronic Medicine, on the Springer/Nature BMC platform reflects the commitment to a necessary forum for publishing cutting edge primary research, timely reviews and other relevant publications. Here we comment on the recent content of Bioelectronic Medicine (published in 2018) that captured many important aspects of the current state of the field. Our aims are to trigger multidisciplinary discussions and to inspire future research efforts that will contribute to advancing the field.It is an exciting time for the expanding field of Bioelectronic MedicineBioelectronic Medicine by Giagka and Serdijn Zhang et al. provided insight into the utility of wavelet decomposition as a method to extract neural features obtained from a microelectrode array implanted in the motor cortex of a human with tetraplegia (Zhang et al., Studies providing mechanistic insight into the CNS in health and disease are extremely important for Bioelectronic Medicine (Pavlov et al., Obesity and diabetes are pandemic and present significant challenges to modern society (Mokdad et al., Visual prostheses are medical devices designed to provide some degree of vision to individuals with blindness as a result of severe degeneration or damage to the retina, the optic nerve, or brain damage (Fernandez, It was estimated that in 2015, 36 million people were blind, and 217 million had moderate or severe vision impairment (Bourne et al., Bioelectronic Medicine will be the platform for innovative research and conceptual developments reflecting the progress in the field.A growing knowledge of mechanisms of neural regulation in disease pathogenesis will be instrumental for developing new bioelectronic technologies."}
+{"text": "In response to the protracted Ebola virus outbreak in the Democratic Republic of Congo, the international public health community called for increased attention, coordination, and resources to support the response. The use of real-time modeling and analytics to support public health decision-making has been an important capability that has grown during previous outbreaks \u20133. DespiTo improve communication and create awareness of the efforts of modeling groups already studying the DRC Ebola outbreak, we\u2014an existing outbreak science working group\u2014convened an informal modeling research coordination group to align efforts around infectious disease modeling of the outbreak . Each moThe presentations throughout the seven months of this modeling coordination group meetings highlighted some of the ways this DRC outbreak differed to the prior 2014 West African outbreak. The impact of violence itself on epidemic growth and effective response was also a major focus of modeling efforts . Shifts This working group was not formally endorsed by any agency or formally tasked with supporting any specific public health activity in the DRC. It was not intended to replace formal modeling groups who had already been tasked to support the Ebola response and is distinctly different from epidemic surveillance sharing platforms such as the Global Public Health Intelligence Network or the Epidemic Intelligence Information System ,14. HoweThe Ebola modeling coordination group also highlighted the pervasive complexities of conducting research during epidemics. For example, there is a need to balance broad participation of scientists to study and help resolve the crisis while also deferring to the more urgent priorities of health authorities who are engaged in the critical public health response as well as respecting existing local and international research efforts already formally tasked with supporting the outbreak. It is also a priority to conduct equitable research by collaborating with locally-based scientists so that they are properly involved in and credited with the international scientific response, including data collection efforts. We propose that coordination groups, like the one described here, could help with that. Moreover, we have demonstrated how this model coordination framework could readily be adopted by other groups for future epidemics and indeed has been so in the current COVID-19 outbreak ."}
+{"text": "Physical conditions of living environments can impact risk of falls, however, prior work has focused typically on one domain at a time\u2014either neighborhood or home, capturing limited environmental boundaries of older adults. We extend prior work by considering both neighborhood and home as important residential contexts and examine their impact on the onset of falls over time. Data are drawn from two waves of the Health and Retirement Study . We used interviewers\u2019 report on outdoor and indoor dwelling conditions to assess environmental risk factors. One-third of respondents reported at least one fall years later. The presence of green space such as a park near the housing unit and clutter in the home appears to increase the risk of falls over a four-year period. This finding suggests that falls in old age may be determined by a combination of outdoor and indoor risk factors."}
+{"text": "HIV/AIDS is an infectious disease that has claimed the lives of millions of people worldwide. Currently, there is no vaccine that has been developed in a bid to fight this deadly infection, however, antiretrovirals (ARVs), which are drugs used in the treatment of HIV infection are routinely prescribed to infected persons. They act via several mechanisms of action to reduce the severity of infection and rate of infectivity of the virus by decreasing the viral load while increasing CD4 counts. COVID-19 pandemic has resulted in unprecedented events affecting almost all areas of humans' life including availability of medicines and other consumables. This paper analyses the availability of ARVs during COVID-19 era and offered recommendations to be adopted in order to prevent shortages. It was discovered in 2019 and has since become a global health crisis and was declared a pandemic on 11on (WHO) . Antireton (WHO) . Analysion (WHO) . The ripFactors responsible for the low availability of ARV medicines across borders include: inadequate human resources in manufacturing facilities due to physical distancing and lockdown; curtailing of sea and air transport dents the manufacture and distribution of raw materials and other products such as packaging materials pharmaceutical companies needs to in order to manufacture these medicines. Other factors include: increased overhead and transport costs, the need for an alternative source of key starting materials and active pharmaceutical ingredients coupled with fluctuation and weakened national currency caused by envisaged economic shock apparently pushed up the cost of some antiretroviral regimens . AdditioFirstly, HIV therapy should be promptly integrated into social health insurance scheme if not in totality at least to a greater percentage at all tiers of government such that a pool of funds is created thus, enhancing domestic resource mobilization without further pushing people into poverty. A coordinated action by government and private organizations is necessary for even distribution of ARVs to persons who need HIV treatment . Secondlit is vital that countries urgently make plans now to mitigate the possibility and impact of higher cost and reduced availability of antiretroviral medicines'. It is a call for global action by both suppliers and buyers to ensure smooth delivery and accessibility of ARV medicine for continue treatment by person living with HIV. Government should also pull concerted efforts and create policies that will enable this set of people gain uninterrupted access to antiretroviral in the midst of the current pandemic and beyond this global health crisis.The economic impact of COVID-19 pandemic indicates a possible shortfall in the availability and a rise in the cost of ARVs. We cannot let the COVID-19 pandemic undo the hard-won gain in the global response to this disease. In different occasion the executive director UNAIDS Winnie Byanyama said: '"}
+{"text": "In order to address the geropsychology workforce shortage, educators are trying to better understand the attitudes, interests, and needs of prospective students as well as expand educational opportunities and specialty competence. This symposium reports on several recent and ongoing research projects and educational initiatives which can together inform future efforts to recruit students into the field. King et al. discuss how concerns about adultist oppression might keep young adults from entering the field. This study describes a new adultism measure which positively correlates with ageism and negatively correlates with both experience and interest in working with older adults. Together with Strong and Graham\u2019s study looking at ageism among North American and non-North American students, these studies remind us of the continued effort needed to better understand and combat age-related oppression of individuals at both ends of the lifespan. Two studies share specific educational initiatives addressing areas of essential but undervalues areas of training for geropsychologists. O\u2019Malley and Graham report on the integration of health policy training into undergraduate education, while Jacobs et al. describing a new performance-based evaluation tool for training in the assessment of decision-making capacity. Postgraduate specialization continues to be crucial in establishing and growing the discipline of geropsychology. Mlinac and Smith report on the development of a mentorship program for professionals on the path to board certification."}
+{"text": "There are 5.8 million Americans living with Alzheimer\u2019s disease and more than 16 million Americans providing unpaid care for people with AD and related dementias. Since a treatment that can slow or stop progression of this disease has yet to be discovered, novel interventions are sorely needed to maintain cognitive function and quality of life among individuals with dementia, improve the health and well-being of caregivers, and provide assistance in caregiving duties. This symposium addresses novel interventions in the dementia care continuum ranging from social and leisure activities for improving cognition to incorporation of emerging technologies to assist with caregiving and provides recommendations and priorities for future studies. The first presentation introduces evidence that participation in an intergenerational choir can improve cognition, social connectedness, and quality of life among people with dementia and their caregivers. The second presentation systematically assesses recent randomized controlled trials of computerized cognitive training aimed at improving cognitive function among individuals with cognitive impairment or dementia. The third presentation examines the evidence that interventions employing artificial intelligence such as robots may improve care for persons with Alzheimer\u2019s disease and caregivers\u2019 quality of life and provides suggestions for future studies to better assess the efficacy of these interventions. The session concludes with a presentation on a survey method used to build consensus among a panel of experts across academia and industry which identified the emerging technologies that are expected to become the most prevalent in dementia care and provides recommendations for limiting associated risks."}
+{"text": "Beckett et al performeHowever, we are concerned that the authors excluded all scientific articles regarding the outcomes of human trials using the proposed dietary strategies due to fees for obtaining these articles and the assumed lack of ability of people with MS to interpret these types of articles. In our experience, people with MS who desire to incorporate diet into their personal treatment plans are often highly informed of the scientific literature regarding dietary strategies for MS. In addition, scientific journals often are open access and/or provide lay language summaries of the article; for these reasons, we disagree with the authors' justification for excluding these articles. Furthermore, the authors conclude that online dietary advice is often the result of an individual\u2019s experiences and has not been scientifically evaluated. However, at the time of the internet search November 2016) performed by Beckett et al 016 perfo and assoWe agree with Beckett et al that theWe would like to thank the journal editors for allowing us to reply to Beckett et al , who con"}
+{"text": "The wide range of services needed to support a safe and quality life among people living with dementia at home is growing and extends beyond the bounds of traditional reimbursement models. Within the context of a health care system that is not designed to reimburse for these types of services, federal grants from the Alzheimer\u2019s Disease Programs Initiative (ADPI) funded by the Administration for Community Living (ACL) have supported the delivery of home- and community-based services (HCBS) for people with dementia and their care partners with a pragmatic emphasis on sustainability, such as establishing successful reimbursement pathways. Drawing lessons from ACL\u2019s ADPI program and from the Health Resources & Services Administration Geriatric Workforce Enhancement Program and Geriatrics Academic Career Award program, this symposium examines opportunities and strategies for providing services to people living with dementia in the community and highlights occupational therapy as a valuable dementia care service that has potential for sustainable delivery and opportunities for professional expansion. Papers address needed workforce development for delivering HCBS to diverse populations living with dementia and examine occupational therapy roles in delivering HCBS to persons with dementia and their care partners. Additionally, papers examine the implementation and outcomes of evidence-based occupational therapy and interprofessional interventions for persons living with dementia in the community. Reimbursement mechanisms for occupational therapy services delivered to people with dementia in the community are described. Discussion addresses how these innovative interventions and reimbursement mechanisms align with the recent surge of National Institute on Aging funding for pragmatic trials."}
+{"text": "The COVID-19 pandemic has in a matter of weeks fundamentally crippled health systems in many countries and is now threatening to cause a global economic depression [We wish to highlight two key natural experiments that it is important to focus attention on. The first is countries\u2019 responses to dealing with and mitigating the effects of the pandemic. There is considerable global variation in national responses ranging from immediate attempts to suppress the outbreak to containment approaches aiming to promote the development of herd immunity . These aA second major net of natural experiments that need to be undertaken is to establish on a global scale the impact of improvements in air quality on human and planetary health. The pandemic has resulted in the greatest restrictions in travel in human history, which have already led to very substantial reductions in ambient air nitrogen dioxide and particulate matter levels . Given tWhile still in the midst of the global turbulence caused by COVID-19, it is difficult to see any silver lining. We do however need to make the most of this adversity. We argue that mounting major international natural experiments to understand optimal approaches to national pandemic responses, and the effects of air quality improvements on human health represent very major opportunities to advance population health. Since such evaluations typically make use of routinely collected health care data -6, theseWe must collectively seize these opportunities to help achieve a lasting benefit of the global tragedy now unfolding."}
+{"text": "Refactoring is often needed to ensure that software systems meet their performance requirements in deployments with different operational profiles, or when these operational profiles are not fully known or change over time. This is a complex activity in which software engineers have to choose from numerous combinations of refactoring actions. Our paper introduces a novel approach that uses performance antipatterns and stochastic modelling to support this activity. The new approach computes the performance antipatterns present across the operational profile space of a software system under development, enabling engineers to identify operational profiles likely to be problematic for the analysed design, and supporting the selection of refactoring actions when performance requirements are violated for an operational profile region of interest. We demonstrate the application of our approach for a software system comprising a combination of internal components and external third-party services."}
+{"text": "Humans combine incoming sensory and past information to deal with ambiguous and uncertain information that uncertainty from the encoded stimulus is stored in short-term memory and (2) that knowledge about different statistical environmental regularities might affect how the brain integrate past information with current decisions. While the first should inform the development of models of short-term memory storage, specially those concerning short-term synaptic plasticity, a candidate mechanism to explain serial dependence (Barbosa et al., For downstream areas to have access to previous trial probability distribution of stimulus values, the brain must keep it in short-term memory. van Bergen and Jehee's results If serial dependence relied only on averaging of previous and current information, one would expect response biases to increase as the difference between consecutive stimuli increase. However, as first shown by Fischer and Whitney , van BerInteresting predictions for future investigations of serial dependence can be generated by assuming that participants have at least an approximate knowledge of the natural temporal dynamics of the environment. For example, by having participants learn a new internal model of stimuli sequence (Chalk et al., Evidence that the brain uses past information and weight current and previous information based on uncertainty has been out there for a while. van Bergen and Jehee's work proThe author confirms being the sole contributor of this work and has approved it for publication.The author declares that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "As the caregiver ratio declines, technology will play an increasingly important role in supporting formal and informal caregivers. This presentation will report on the particular effects that frontier technologies may have on various tasks associated with caregiving, including assisting with basic Activities of Daily Living (ADLs) and Instrumental Activities of Daily Living (IADLs). The expert panel predicted that different technologies and new products will have varied effects on caregiving tasks, and that some tasks may be more impacted than others. Some of the key opportunities and barriers to integrating technologies into various tasks of caregiving will be discussed."}
+{"text": "Careful fidelity monitoring is critical to implementing evidence-based interventions in dementia care settings to ensure that the intervention is delivered consistently and as intended. Most approaches to fidelity monitoring rely on human coding of content that has been covered during a session or of stylistic aspects of the intervention, including rapport, empathy, enthusiasm and are unrealistic to implement on a large scale in real world settings. Technological advances in automatic speech recognition and language and speech processing offers potential solutions to overcome these barriers. We compare three commercial automatic speech recognition tools on spoken content drawn from dementia care interactions to determine the accuracy of recognition and the guarantees for privacy offered by each provider. Data were obtained from recorded sessions of the Dementia Behavior Study intervention trial (NCT01892579). We find that despite their impressive performance in general applications, automatic speech recognition systems work less well for older adults and people of color. We outline a plan for automating fidelity in interaction style and content which would be integrated in an online program for training dementia care providers."}
+{"text": "Older adults are often relying on a family member or other informal caregiver (friend or other) to jointly navigate the health care system and cope with the ramifications of serious illness; thus, the patient-caregiver dyad becomes the unit of care. The caregiving role becomes crucial in cases where patients are facing a condition that limits their cognitive and functional abilities and caregivers are called to act as proxy decision makers for significant treatment and symptom management decisions. Caregivers often report that they feel isolated and overwhelmed, and in some cases experience significant barriers in communicating with health care providers. It is important that clinicians communicate in a way that acknowledges and addresses caregivers\u2019 preferences, needs and perspectives. Caregiver centered communication can facilitate a more effective adaptation throughout the illness course with better adherence to recommended treatment plans and greater satisfaction with care for both patients and families, as well as a more comprehensive response to their psychosocial needs. While health care organizations often aim to increase caregiver engagement and involvement in care processes, there is a lack of tools or strategies not only to more actively engage caregivers but also to assess how ongoing approaches perform in terms of facilitating meaningful and inclusive communication. This symposium will review existing tools and a new instrument to measure caregiver centered communication, challenges and opportunities in measuring the quality of communication with caregivers and highlight empirical data of communication quality in various health care settings including home care and hospice."}
+{"text": "L-arginine by means of nitric oxide synthase enzymes. Recently, a novel pathway for the reduction of dietary inorganic nitrate to nitrite by the bacteria in the oral cavity and subsequently to vasodilatory nitric oxide within the body has been uncovered. Dietary nitrate is abundant in green leafy vegetables, including beetroot and spinach, and reduction of exogenous nitrate to nitrite by oral bacteria can increase nitric oxide in the vasculature, lessening hypertension. Supplements rich in nitrate may be an attractive choice for treatment due to fewer side effects than drugs that are currently used to treat hypertensive pregnancy disorders. Additionally, manipulation of the composition of the oral microbiota using pro- and prebiotics in tandem with additional dietary interventions to promote cardiovascular health during gestation may offer a safe and effective means of treating hypertensive pregnancy disorders including gestational hypertension and pre-eclampsia. The use of dietary inorganic nitrate as a supplement during pregnancy requires further exploration and large scale studies before it may be considered as part of a treatment regime. The aim of this article is to review the current evidence that oral microbiota plays a role in hypertensive pregnancies and whether it could be manipulated to improve patient outcomes.Chronic hypertension during gestation is associated with an increased risk of adverse pregnancy outcomes including pre-eclampsia, fetal growth restriction and preterm birth. Research into new chemotherapeutic regimes for the treatment of hypertension in pregnancy is limited due to concerns about fetal toxicity and teratogenicity, and new therapeutic avenues are being sought in alternative physiological pathways. Historically, generation of the vasodilator nitric oxide was believed to be solely from Hypertension is a modern medical crisis in all nations across the globe due to its correlation with a poor, high calorie diet and minimal exercise, all of which are risk factors for cardiovascular disease and death is crucial in maintaining vascular homeostasis within the host is a vital signaling molecule in the cardiovascular system and has been implicated in numerous vascular processes including vasodilation and tissue protection .in vivo both in animal models per oral administration; a high pharmacological dose] led to methemoglobinemia in a pregnant rat model toward higher relative abundances of Neisseria and Veillonella following nitrate supplementation (Koopman et al., Research interest in the oral microbiota and its relationship with BP responses has become more prominent within the last few years (Bryan et al., Given the positive effects of nitrate supplementation in non-pregnant populations, and our preliminary findings in pregnant women, it remains possible that dietary interventions targeting the nitrate-nitrite-NO pathway could be used in future to improve outcomes in HPDs. Investigating whether differences in the oral microbiome are associated with HPDs, and determining the efficacy of BP responses to dietary nitrate supplementation amongst different groups of pregnant women, is the focus of our current studies. Future trials should explore and evaluate whether nitrate supplementation and/or probiotic supplementation can improve pregnancy outcomes in hypertensive pregnant women. Research should also be expanded to other maternal microbiotas which are known to be dramatically altered during gestation, such as the gut (Koren et al., All authors contributed to the writing of the manuscript and approved the final submitted version.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "In the past decade, remote home monitoring has emerged to monitor surgical patients in the vulnerable period after hospital discharge.In this observational feasibility study,The results of this study provide a valuable contribution to the discussion on the feasibility of monitoring systems for older and vulnerable populations. Future home monitoring systems should measure a various range of parameters, yet remain usable and acceptable for older and vulnerable patients. This is necessary to ensure high compliance and completion rates of the population with the perceived greatest benefit of monitoring. Finally, the integration of monitoring systems into existing health care systems should be well explored to secure feasibility for health care professionals."}
+{"text": "With this notice, Frontiers states its awareness of concerns regarding the validity of the participant data in this study. An investigation is currently being conducted by Kashan University of Medical Sciences research ethics committee. This expression of concern has been posted while Frontiers awaits the outcome of that investigation and will then be updated accordingly."}
+{"text": "Oxford Medical Case Reports will contribute to increasing the available knowledge base through the submission of papers by medical staff in humanitarian settings sharing their experiences and challenges with the provision care for people living with complex medical conditions in similar resource-limited settings.As discussed by our colleague Wind , in a prNone declared."}
+{"text": "Following publication of the original article , the autResults for matched tests performed by BioFire and qPCR or rapid test and qPCR.The publisher apologizes for any inconvenience.The original article has been corrected."}
+{"text": "Cellular processes often decline with age and cells lose their ability to function optimally, which may lead to organ-specific dysfunction and the development of systemic age-related diseases. The cellular hallmarks of aging are associated with clinical signs and symptoms and can be termed Age Associated Cellular Decline. An expert consensus study group was convened to provide an initial framework for the development of a tool for adults over 50 years old, which identifies self-reported symptoms and observable signs likely to be early and/or surrogate markers of age associated cellular decline. A total of 16 potential early signs and symptoms of age associated cellular decline were identified and need to be validated in further research."}
+{"text": "The goal of ending preventable maternal and newborn mortality is achievable. Many maternal and newborn deaths can be averted through family planning services, and the timely provision of high quality care throughout pregnancy, childbirth, and the postnatal period. Yet, progress in increasing universal access to these life-saving interventions has been uneven and slower than we hoped. There are still approximately 2.5 million newborn deaths and 300\u2009000 maternal deaths per year, most occurring in countries with the highest resource constraints and weakest health care infrastructures ,2.The positive news is that these stark numbers have not gone unnoticed, and great strides have been made in identifying essential packages of care for saving the lives of mothers and their newborn babies. Global consensus has also been reached on a core set of indicators for assessing progress in scaling-up these essential packages. Targets for reducing maternal and newborn mortality are in the Sustainable Development Goal (SDG) Framework, and many of these core indicators are embedded within other global accountability frameworks such as the Global Strategy for Women\u2019s, Children\u2019s and Adolescents\u2019 Health (2016-2030), Countdown to 2030, Every Newborn Action Plan, and Ending Preventable Maternal Mortality.But, why does it matter if maternal and newborn health related indicators feature prominently in global accountability frameworks? The simple answer is the maxim we know so well: What gets measured gets done. And this translates into all of us doing our part to make it possible for every woman to have a healthy pregnancy and positive birth outcome for herself and her newborn baby.The inclusion of maternal and newborn health indicators in global accountability frameworks has spurred a surge of data collection efforts in recent years \u2013 new questions and modules have been added, for example, to large-scale population-based surveys such as the UNICEF supported Multiple Indicator Cluster Surveys (MICS) and the USAID supported Demographic and Health Surveys (DHS), and to health facility assessments such as MEASURE\u2019s Service Provision Assessment, and WHO\u2019s Service Availability and Readiness Assessment. There are also ongoing efforts to provide guidance to countries, through a set of modules (DHIS2 modules) produced under the umbrella of the Health Data Collaborative, on a standard set of indicators to collect through their routine health information systems.All these data collection efforts have greatly increased the availability of data on essential maternal and newborn health interventions. The aim of this supplement is to take stock of where we are now: Are these efforts enough to meet global and national monitoring needs for maternal and newborn health? What else needs to be done to improve the measurement of maternal and newborn health indicators so that we all can be held to account for achieving the ambitious SDG targets? This supplement is organized into three sections. The first provides an overview of the data landscape for essential maternal and newborn health interventions. The second section includes papers that focus on the policy and programmatic implications of accurately measuring and regularly monitoring key maternal and newborn health indicators. These studies demonstrate what can be learned from analyses of available data about progress in individual and in groups of countries. They highlight where improvements are being made, where more work is needed, and context specific opportunities for increasing both the supply of and demand for essential maternal and newborn care. The set of papers in the third section highlights methodological work completed or under way on improving the measurement of maternal and newborn interventions and how this work helps address existing data gaps.Several actionable messages emerge from the collection. These include a recommendation to increase data collection approaches that capture information about effective coverage and the quality of care. The study by Carvajal-Aguire et al., for example, revealed large data gaps in 20 countries in sub-Saharan Africa on the content of health services provided . One sucAlthough the escalation in data availability on maternal and newborn health interventions is a laudable achievement, studies in this collection show that further work is needed on harmonizing data collection efforts to improve comparability across them. The study by Amouzou et al., for example, found that the MICS and DHS use different questions and methodologies for capturing information on postnatal care which reduces comparability across the two survey programs and the ability to develop time trends . Other aThis supplement is timely given the ambitious global development agenda and the growing awareness of maternal and newborn survival as essential to its achievement. It shows the power of data to: 1) inform us about how well we are doing in improving coverage of essential maternal and newborn interventions within and across countries, and 2) why investments in the measurement agenda are critical for increasing our ability to know what we need to know about the success of policies and programs in saving maternal and newborn lives."}
+{"text": "Growing evidence indicates that residential contexts are implicated in the health and well-being of older adults. Operationalization of these contexts varies and includes psychosocial, physical and socioeconomic neighborhoods, and more proximal contexts . We aim to bring together a diverse set of papers focused on the living environment to understand how contextual factors are associated with individual outcomes. Mu\u00f1oz and colleagues applied a lifespan perspective by evaluating associations between current and childhood neighborhood perceptions on cognitive health. Their results indicated that the association between perceived neighborhoods and cognition in adulthood was moderated by childhood neighborhoods. Garc\u00eda and Ailshire contextualized the types of neighborhoods in which older Latinos live and how these influenced diabetes risk. They identified neighborhood clusters characterized by racial/ethnic and socioeconomic compositions and found that predominantly Latino neighborhoods with low SES were more likely to have diabetes compared to other neighborhood clusters. This symposium will also focus on the more proximal environment. Lee and Ailshire examined the neighborhood and home environment and found that the home\u2019s proximity to green space and level of clutter within the home was associated with increased fall risks in older adults. Fingerman and colleagues coded older adults\u2019 living spaces and found that personality type was associated with room conditions. Altogether, the presentations highlight the relevance of context measured across multiple levels of analyses and dimensions of well-being outcomes in aging individuals. Dr. Markus Schafer will provide a discussion of these findings and address the challenges and opportunities for future research."}
+{"text": "Surface modified bioactive virus-mimicking organic nanovesicles represent themselves as complex biomimetic structures that have abilities to dissect the functions of individual entities in a complex biochemical system. The customized surface of nanovesicles from (glyco)dendrimersomes has structural modifications that contribute to manifest the SARS-CoV-2 and host pathogenic molecular interactions that help the virus to evade the human immune system. Nanovesicles also have a potential role in dynamic biomedical applications such as designing galectin targeting drugs, evaluation of antibodies to design antiviral therapeutics or vaccines and targeted delivery of drugs.in vitro, biocompatibility and customized design that provides a better understanding of a particular function with safe handling. Designing spike-like oligomannoses of SARS-CoV-2 on the surface of (glyco)dendrimersomes play a significant role to translate host-pathogenic molecular mechanisms dendrimersomes with glycans and glycoproteins (oligomannoses) found on the surface of viruses including SARS-CoV-2 and other living cells or bacterial pathogens provide an opportunity to understand molecular interaction patterns between host and pathogen. This customized system helps to better understand the effects of one single molecular function at a time rather than to attain a synergistic response which becomes difficult to explain receptor on the surface of the host cells and mediates entry inside cells dendrimersomes that have customized sequence of sugars or proteins and allow scientists to understand how host and pathogens interact? and How intercellular signaling changes during the process of disease? dendrimersomes also have abilities to act as an epitope of an antigen and to be recognized by the antibodies secreted by immune cells to generate an immune response and neutralize the future pathogenic attacks. These (glyco)dendrimersomes also act as a functional platform to screen antibodies to design and select vaccines. Empty lumen or pocket of the (glyco)dendrimersomes provide an advantage to use them as a carrier of antiviral therapeutics that can target specific virus particles because of their surface modifications and release drugs upon exposure to a particular physicochemical stimulus such as ultra-violet light. Surface targeting and controlled release of drugs have advantages to better manage patients' health and have profound treatment success rates dendrimersomes as nearly safe against human umbilical vein endothelial cells (HUVEC) and they were observed viable upon exposure to nanovesicles that require further toxicological investigations to use them as drug carriers dendrimersomes provide a multi-dynamic platform to understand host-pathogen interactions that help SARS-CoV-2 to evade the human immune system. Nanovesicles have the potential to be used as a vaccine having customized oligomannoses as terminal groups on their surface that represent the blueprints of spike S proteins. The empty lumen of organic supramolecular vesicles has abilities to carriage antiviral drugs or therapeutics to their targeted sites or pathogens and release drugs in response to a particular stimulus.BJ designed the study and wrote the manuscript.The author declares that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Pediatric Reports was launched in 2009 and it has been published over the past eleven years by PAGEPress Publications [ications . ProfessPediatric Reports from PAGEPress and perpetuate the legacy of this journal, and ensure that we serve well the pediatrician community. Pediatric Reports complements very well the MDPI portfolio of medical journals [Children [International Journal of Neonatal Screening [We are delighted to take over the publication of journals , especiaChildren and the creening .MDPI will publish the fourth quarterly issue of 2020 and will thereafter publish four quarterly issues as of 2021. Pediatric Reports [Enjoy publishing your work in Reports !"}
+{"text": "The COVID\u201019 pandemic has exposed fragilities and reinforced the resiliency of different elements of our manufacturing and processing systems. Food processing, in particular meat packing, currently a very labor\u2010intensive operation, experienced significant disruption and the car industry implemented shutdowns which will ripple through supply chains in the coming months. It became clear that packaging supply chains are bottlenecks as producers tried to divert food stuffs from restaurants to consumer stores, and shifts in demand for paper products caused persistent consumer outages. The basic chemicals and fuels industry did not see significant disruption, but wild price fluctuations did occur as reduced demands and an unfortunately timed production increase caused available storage capacity to be strained. Recycling industries saw, and will continue to experience, both ends of the disruption as their consuming industries reduced demand and their providers stockpiled material or diverted it to trash. The beverage industry has significant inventory in public venues that has expired. Boutique level hand sanitizer production has resulted as these beverage production systems have been reconfigured and the rules surrounding the grade of alcohol relaxed.1 and we would like to encourage you to consider other ways in which our manufacturing systems will change in response to the pandemic. However, much as there is a need to address the short\u2010term disruptions caused by a pandemic, and to understand how research can respond to create advanced manufacturing and processing systems with flexibility and resilience in the future, we also need to continue to push forward with efforts that provide new foundations for those features and we have curated articles that we hope fulfill that goal.We are sure there are many of you who have worked long hours to innovate your manufacturing and processing systems to cope with the challenges of COVID\u201019 and we would welcome articles and commentaries on how advanced manufacturing can play a role in our collective response. In this issue of JAMP we share a commentary on the rapid manufacturing of vaccines as our contribution to understanding how our community might respond to COVID\u201019,2 and Process intensification remains a key approach to advanced manufacturing enabling more nimble and responsive systems. This issue provides two examples tackling a variety of processes: the epoxidation of vegetable oils and the manufacturing of butyl acrylate. show that by using a mesoscale oscillating baffled reactor the process can be converted from a batch operation to a continuous one and in the process they estimate that the new reactor is approximately 144 times smaller than the batch reactor operating at the same production rate.Rahim et al.3 show have combined this technology with membrane pervaporation creating a Simulated Moving Bed Membrane Reactor which reduces the number of operation sections for the manufacturing of butyl acrylate while reducing the eluent consumption and improving the productivity. A complete analysis of all process metrics is given in this paper.The Simulated Moving Bed Reactor (SMBR) technology has been an example for process intensification for a couple of decades. Constantino et al.4 have discusses the importance of protecting data as critical intellectual capital and how many in the AI vendor community do not understand the value of data to the process industry. The commentary offers insight on the need for chemical engineers and data scientists to work closely together to solve technical and operational problems that require analysis of data that is broader than process data and where fundamental models break down. This commentary takes on additional importance for resiliency in light of the social and economic impact of COVID\u201019.The use of Artificial Intelligence (AI) in the chemical process industry is being used in new ways that are challenging the way this industry should consider the adoption and deployment of Industry 4.0 that has become ubiquitous in other business sectors. Colegrove5 disc"}
+{"text": "Iran has witnessed one the fastest decline in the road traffic mortality in past decade. Despite this great achievement, the number of death toll has increased in past two years although in a small manner. The global situation is similarly alarming and recent figures show an increase in the number of fatalities and injuries despite the proclaimed goals for decade of action by the united nation. The current situation does not mean that there were negligence but it indicates more importantly the urgent need to combine the current engineering approach to more humanistic approach to this modern world preventable disaster. Risk perception insufficiency has been found to be a major driver of fatal events especially in younger victims. Although law enforcement and environmental support could initiate the change in behavior but there is need for a humanistic approach for persistent change in behavior.Humanistic Approach, Traffic Accidents"}
+{"text": "The steady rise of antimicrobial resistance is one challenge where the current research and development system does not provide the needed solutions. Two new World Health Organization (WHO) reports show that too few new antibacterial treatments are in development and that more interventions are needed.Clostridioides difficile. The 10 biological treatments in clinical development target Staphylococcus aureus (six treatments), Pseudomonas aeruginosa (two treatments) and Clostridioides difficile (two treatments).The 2019 WHO clinical antibacterial pipeline analysis describes all antibiotics and biological treatments that are currently in development against the WHO priority pathogens list.WHO also assessed the novelty of the antibacterials using four criteria: absence of known cross resistance, new class, new target and new mode of action as defined by the WHO expert group. Only six of the agents that target the WHO priority pathogens fulfil at least one of the four criteria.New derivatives of the same class can be superior than the first in class treatment by having a better safety profile, better efficacy or activity against resistant bacteria. However, resistance is likely to develop quicker against derivatives of the same class that share the same mode of action and target. Clinicians are reluctant to switch to new, more expensive treatments that are based on non-inferiority trials that only show that the new treatments are not worse than the standard of care. This reluctance and the conservative approach required towards using new antibiotics under stewardship programmes is translating into serious economic challenges. The recent bankruptcy of some of the small antibiotic research and development companies and the fact that most major pharmaceutical companies have left the antibiotic research and development space illustrates these economic difficulties.,How to tackle the lack of private investment in the research and development of new antibacterial treatments has been discussed in the G7, G20 and other international fora.Mycobacterium tuberculosis and Clostridioides difficile.WHO\u2019s first report and publicly accessible database on the preclinical antibacterial pipeline published in January 2020 captures 252 antibacterial agents being developed by 145 individual institutions against the WHO priority pathogens, More public investment is needed to ensure a viable economic environment for antibacterial treatments that are innovative and add significant clinical value. Major pharmaceutical companies also have to make a more sustainable financial contribution. Antibiotic developers together with regulatory agencies must find ways to better demonstrate the clinical advantages of new antibiotics over standard of care through clinical data. Maintaining the antibiotic research and development crisis high on the international political agenda is essential to push for further reforms and to ensure that bacterial infections do not become another field of neglected diseases.In line with WHO\u2019s mandate to promote and conduct research in the field of health,"}
+{"text": "Medical innovation awards stand out as an important means to focus public attention on what matters in medical advancement. Traditional awards typically focus on celebrating medical innovators with either a track record of proven successes in new treatments or promising basic science breakthroughs still years away from reaching patients. Perhaps one of the greatest challenges for medical innovation that is not sufficiently addressed by these traditional awards is celebrating translational research efforts on the cusp of major advancements where medical innovators are demonstrating success in bringing emerging transformative medical innovations to patients. As a part of its award process, the Sanford Lorraine Cross Award has developed a unique method to fill this gap in the landscape of medical innovation awards for ongoing translational research efforts by identifying promising medical innovations within a narrow spectrum of the research pipeline on the verge of having transformative impact for patients in the near term. The Sanford Lorraine Cross Award addresses the challenges of identifying emerging transformative medical innovations making their way through development by deploying a rigorous, analytically-based \u201cearly signals analysis\u201d to identify emerging transformative medical innovations in its selection process independent of the medical innovators who are succeeding in bringing them forward. It also stands apart from traditional medical innovation awards in focusing on identifying award candidates that have significant roles in bringing the emerging transformative medical innovation across the finish line to patients, and their efforts in overcoming challenges, forging collaborations, and ensuring a successful outcome. The data-driven award selection process used for the Lorraine Cross award ultimately inverts the standard medical award selection paradigm \u2013 truly innovative areas of discovery and breakthrough science are identified independently of candidates and used to then focus candidate selection on the areas with the most promising transformative potential for patients. This article sets out the details of how the Sanford Award makes use of leading tools and methods in identifying transformative innovations currently in translational research to provide another important focus of what matters in medical innovation.The Sanford Lorraine Cross Award identifies the most successful application of translational research that ultimately expedited the development of a treatment or cure of a disease. Medical research awards garner significant attention and prestige in recognizing research excellence and contributions to making a difference in advancing medical innovation. For instance, the NIH Almanac touts that \u201cThe National Institutes of Health (NIH) has a long, rich tradition of support for award-winning, cutting-edge research. Many of the world\u2019s most distinguished investigators have been honored with medicine\u2019s top prizes, including the Nobel Prize and awards from the Albert and Mary Lasker Foundation \u2013 \u2018America\u2019s Nobels\u2019 \u2013 honoring groundbreaking contributions to our understanding of the human disease\u201d . This paThese traditional medical innovation awards either celebrate those medical researchers and innovators with proven successes or transformative basic science breakthroughs still years away from reaching patients. Among the examples of major awards for proven successes are the Nobel Prize in Physiology or Medicine with an emphasis on \u201cdiscoveries that have changed the scientific paradigm and are of great benefit for mankind\u201d and the While these traditional medical research awards are a critical component of celebrating foundational scientific research, there is not currently a focus on celebrating those medical researchers and innovators closing the translational research gap for emerging transformative medical innovations today as opposed to the past or in a distant future. Advancing current translational research is perhaps the most pressing challenge of today\u2019s age in medical research in terms of providing new health-care solutions to patient populations. As the groundbreaking Food and Drug Administration (FDA) report on the Challenges and Opportunity on the Critical Path to New Medical Products brought to public attention that \u201cat a time when basic biomedical knowledge is increasing exponentially, the gap between bench discovery and bedside application appears to be expanding\u201d .The need to recognize and incentivize medical researchers and innovators having success in addressing today\u2019s translational research challenges calls for a new type of medical innovation award backed by an analytical process that leverages the holistic body of highly descriptive but unstructured data on medical research activities. The importance of translational research requires a new paradigm that incorporates means to assess the emerging transformative medical innovations that are making their way through the development process to reach patients. A medical innovation award process that embraces the context of translational research also needs to be able to identify the medical researchers and innovators making significant contributions in advancing these emerging transformative medical innovations by demonstrating ingenuity, perseverance, and commitment to its success in reaching patients.Developing a rigorous and repeatable method for creating an award for translational research is the vision and focus of the Sanford Lorraine Cross Award, which celebrated its inaugural award in emerging transformative medical innovations in December 2018 and is now preparing for its second award process for December 2020.This award is agnostic to individuals at outset. As depicted in Another unique aspect of the Sanford Lorraine Cross Award is the criteria used to select the award winners. Rather than primarily focusing on the significance of the contribution of a researcher or clinician, the Sanford Lorraine Cross Award is concerned about the role that the award candidate has played in bringing a new emerging transformative medical innovation across the finish line to patients, and their efforts in overcoming challenges, forging collaborations, and ensuring a successful outcome.A final distinguishing aspect of the Sanford Lorrain Cross Award is the \u201crigor\u201d it brings in focusing on emerging transformative medical innovations in its selection process independently of the pioneers who are succeeding in bringing them forward. In particular, the Sanford Lorraine Cross Award stands out in the development of an \u201cearly signals analysis,\u201d which applies a data-driven approach using advanced analytical techniques to capture the vision of the Sanford Lorraine Cross Award in targeting emerging transformative medical innovations. As explained in further detail below, the early signals analysis relies on machine learning approaches to enable Sanford to cast a wide net across an expansive portfolio of high-impact translational research activity indicators and identify those innovations that are on the cusp of realizing transformative impacts in bringing new treatments to patients.The early signal analysis functions as the first step in a four-step selection process for the Sanford Lorraine Cross Award, as depicted in Following the selection of the most promising emerging transformative medical innovation areas, the focus then shifted to identifying specific candidates who are advancing science in those areas and embody the spirit of the Sanford Lorraine Cross Award. Potential candidates were identified based on peer-reviewed sources detailing the research history and current status of those selected emerging transformative medical innovation areas, and data mining of recent online activity in medical innovation news and press releases related to those areas. Further, due diligence was carried out by Sanford Health, including discussions and in-depth background analysis of candidates to identify the top three candidates for consideration.The ultimate selection among the three final candidates, each of which was well-qualified, is the responsibility of the Sanford International Board to ensure the focus on a medical pioneer who has demonstrated ingenuity, perseverance, and commitment to bringing an emerging transformative medical innovation to fruition. The Sanford International Board offers both a strong patient-orientation along with a passion for supporting the improvement of the human condition through transformative medical treatments and care, and brings their expertise and life experiences as entrepreneurs, health-care leaders, business executives, and world-class competitive athletes to bear. This advisory group helps oversee Sanford\u2019s World Clinics, with current locations in Canada, China, Germany, Ghana, and the U.S. These Sanford World Clinics provide care to children, families, and underserved populations along with offering innovative approaches in areas as primary care services, regenerative medicine and diabetes, to improve the health and well-being tailored to the needs of each community it serves, using methods that surpass current practices of health-care delivery.This rigorous early signals analysis stands in contrast to other major medical innovation awards, which generally rely on the subjective vetting of a small set of highly accomplished and recognized scientific leaders and reflet al. explained that when disruptive innovation occurs in this cascade of innovative development, it disrupts the existing paradigm and begins a new innovative cascade of ideas generated by the disruptive idea [The approach of using early signals to identify trends in innovation is rooted in the scientific literature of how innovations evolve over time and the \u201cbursts\u201d in innovative activity that typify emerging innovations. One way of describing trends in innovation is using the analogy of a cascade, shown visually in ive idea . These dAnalyses of this type of disruption rely on the linkages between ideas, and for this reason, the forward citation patterns, or citing of past work by future work, of research publications, and patents are often used to study shifts in patterns that indicate the onset of a disruptive idea. Other work on identifying and characterizing high-impact and transformative science metrics also relies on the idea that transformative ideas will rapidly generate various types of measurable recognition and forward citation activity as radical and high-impact ideas disrupt previously established citation patterns and generate new concepts .The concept of using the patterns related to short-term bursts of innovation activity that occurs just after a transformative or disruptive idea is introduced to characterize high impact areas through forward citation analysis is reflected in various ways using several different approaches and metrics through the work of a number of other researchers, and is particularly applicable to the biomedical innovation space -10.Since the Sanford Lorraine Cross Award is intended to recognize emerging transformative medical innovations making their way through development with a clear path to reaching patients, only signals that occur at the later stages of basic research up until just before product introduction to market are included to spotlight developing areas where the award can help propel emerging ideas to completion.The identification of early signals consistent with the focus of the Sanford Lorraine Cross Award requires tracking activities that take place across translational research. Translational research is the pathway in which basic research discoveries are advanced and developed into new innovative medical products to serve patients, and it reflects the critical interface of \u201cbench and bedside\u201d relationships which drives medical innovations forward. The U.S. NIH explains that: \u201cInformation flow at this interface is bi-directional, requiring close interaction between clinical and bench scientists\u201d . TranslaThe nature of translational research and the many steps involved in advancing bioscience innovation makes it difficult to establish a single metric intrinsically tied to its development. The early signals data sources considered in an analysis of innovative potential should represent a variety of milestones on the timeline of translational research as medical innovations go from initial discovery to market delivery to ensure maximum coverage, as transformative applications can occur at various points in the process of developing an initial breakthrough discovery into a market-ready product.For this reason, a mix of seven early signals was identified for the Sanford Lorraine Cross Award to consider, including:NIH transformative research grantsHigh impact scholarly activitiesHigh impact patent activitiesHigh potential venture-backed companiesHigh potential NIH small business innovation research grantsFDA expedited reviewTrending social media topics in medical innovationFrom the scientific literature, a critical way to identify those high impact innovations reflecting a \u201cburst\u201d of activity is through various measures of forward citation patterns. To the extent possible, this focus on forward citations patterns as an early signal of high volume, compressed innovation activity is used to process signals data (such as for publications and patents). However, this is not possible for all measures due to limitations in the underlying data. When forward citations are not available for identifying high potential innovation activities taking place in specific early signal measures, then the early signal measure itself is defined in a manner that reflects only highly innovative activities, such as only selecting innovations going through clinical trials approved for expedited reviews.Once filtered, the unstructured text content present in the early signals data describing the applications of each innovation is pooled for further analysis of the innovative technology platform themes present across the breadth of the various early signals measures. This unstructured text data takes the form of descriptive metadata attached to each record documenting an innovation and includes information such as patent and publication abstracts, grant award descriptions, early stage company descriptions, and social media posts describing innovative discoveries. The various early signals records are pooled without any weighting attached to individual records since later steps in the early signals validation process incorporate subject matter expert judgment and feedback in weighting the validity of different concepts. The complete process of selecting, filtering, and combining the early signals data for use in subsequent analysis phases .et al. of quantitative methodologies for identifying emerging technologies indicates that the two most commonly used types of analysis for characterizing the information structure of data rely on patterns formed by either keywords or citations [There are a wide variety of different quantitative approaches that are possible for analyzing the thematic makeup of early signals data, each of them with advantages and limitations. A comprehensive review by Cozzens itations . The metTo analyze the overarching themes present in the refined pool of early signals innovation data, a machine learning technique known as unsupervised latent topic modeling analysis is used to build out \u201cvocabularies\u201d based on the unstructured text content and then use them to identify distinct topics present across the data present in the descriptions. A text processing algorithm is used to clean the text data and then identify frequently appearing terms and multiword phrases through techniques such as word stemming and stop-word removal which are commonly used in natural language processing methods, which turn text content into data for analysis. Once key terms are identified for each record, weighted term frequency methods are used to assess the importance of each term or keyword phrase in describing the content held within an individual text record. The key terms identified for each body of unstructured text are then used as inputs to an unsupervised clustering technique known as latent topic modeling to identify key underlying concepts present in the text data based on the process of building out \u201cvocabularies\u201d of terms that are identified by the algorithm and evaluating their presence across the data. As opposed to more basic clustering algorithms which evaluate text content at the overall record level and then assign a unique theme to a data record, latent topic modeling estimates the mixture of topics present in an individual record to better approximate the structure of real-life text content which often contains multiple themes within a single record. In addition to identifying the underlying topic structure present across the body of text data, the algorithm also enables calculation of a measure of similarity, or \u201cdistance,\u201d between different text records documenting innovations so that all records in the refined pool of early signals data can be compared to one another to identify records that contain similar ideas and concepts. The steps for processing the early signals data for the next stage of review by scientific expert panels are shown in Even after identification of an initial set of topic clusters by the clustering algorithm, it is still necessary to evaluate the cluster groupings to determine cohesiveness and critical mass around a single relevant subject based on analysis of key terms appearing in cluster records. These validation steps filter out clusters that are not focused or are not relevant to the innovation areas that the Sanford Lorraine Cross Award process is designed to target.A total of 20,290 records were generated from the sources for the early signal analysis. This included 9218 records from standardized databases that document more formal stages of innovation involving: Publications, NIH grants, patents, early stage venture capital, SBIR Phase 2 awards, and FDA special approvals. Another 11,072 records came from web surveillance data across medical innovation and research news aggregators that offer insights on informally recognized areas of medical innovation that has new and exciting developments.The latent topic model identified approximately 100 underlying topics present in the body of early signals data. These initial topics were then interpreted through expert review validation and categorized as relevant or \u201cartifact\u201d topics based on how highly focused their themes were on biomedical innovation topics versus other subjects. This step identified 72 highly focused biomedical innovation topics for review by Sanford stakeholders to assess their relevance to the specific vision of the Lorraine Cross Award with respect to the maturity and ongoing research activity in the innovation area. From this grouping, a total of 57 medical innovation topics from the text records were identified and then underwent subsequent review steps with a group of internal Sanford scientific experts who identified a final set of 14 medical innovations to consider in the validation exercise with the external scientific expert panel.et al. note in their work outlining processes by which transformative research can be identified that there are many cultural and cognitive biases that can need to be considered. Further complicating the identification of medical innovations is a wide range of different attributes to innovations that must be considered and weighed, such as potential for impacts on scientific discovery, patients, clinical practice, and public health.In selecting among potential emerging medical innovations for those that stand out as having the highest transformative potential, there is no substitute for the inclusion of expert judgment in evaluating the transformative potential of medical innovation. As Huang et al. [There is an existing literature on retrospective analyses of transformative innovations in the medical space, which includes a variety of techniques that utilize subject matter experts to either critique or rank order sets of medical innovations based on present-day recognition of the innovative value of a set of innovations. For example, Kesselheim et al. use a meet al. ask a grFor the Sanford Lorraine Cross Award, the difference from retrospective studies is providing a rigorous approach to conducting the due diligence on emerging innovations identified through the early signals analysis that accounts for the role of uncertainty and the implied preferences of respondents in a forward-looking way. One way to do this is to use a decision theory framework known as multi-attribute utility modeling to capture expert opinions across the various defining characteristics of a particular innovation. Utility modeling techniques are used to assign preference rankings to choices across a set of uncertain outcomes, in this case, represented by the uncertain outcome of the ultimate future transformative impact for a group of candidate medical innovation applications areas.Multi-attribute modeling relies on two key pieces of information gathered from a survey process and a utility function to determine the \u201cutility\u201d of each medical innovation in the eyes of scientific expert evaluators with respect to its ability to cause transformative impacts. The information provided by expert survey respondents is comprised attributes or descriptive properties or characteristics of medical innovations that are measured or scored, and weights, or the importance of each attribute to the respondent in determining the transformative potential of a medical innovation. The combination of attribute scores and weights using a utility function produces a measure of the transformative potential of a given medical innovation, which can then be used to comparatively rank medical innovations on a consistent basis to determine the top candidate innovation areas to consider in identifying candidate inventors for award consideration. For this analysis, the utility function used to combine attributes and weights takes the form of a simple weighted average:whereU = the overall utility measure for a particular candidate medical innovationn = the number of attributes used to describe medical innovationsw = the importance weights of different attributesA = the scores for different attributesWhile other utility function forms are possible, this particular form of multi-attribute analysis is commonly used across a variety of technology areas to assess the market potential for products and services.A review of the literature describing the profiles of the past transformative medical innovations was used to outline a set of attributes describing a set of characteristics of transformative medical innovations. Attributes were identified within the context of four broad areas that describe the transformative impact of innovations on applications of medical science and refined with guidance from a scientific expert group composed of Sanford researchers and clinicians to validate their effectiveness in capturing the dimensions of what it means to have transformative effects. The final listing of broad impact areas that contain detailed attributes across which survey respondents were asked to evaluate candidate medical innovations is shown in An accomplished and broad-based panel of scientific leaders was organized by Sanford Health to participate in the multi-attribute survey process and came together as a group to consider the results and to help guide the focus of what emerging medical innovation areas held the highest transformative potential from which to consider candidates. The members of the Sanford Lorraine Cross Scientific Advisory Board are shown in Since transformative medical innovations identified in early signals data do not necessarily yet have a track record of creating impacts, the attribute evaluations relied on the expert judgment of transformative potential through relative scoring rather than measured outcomes criteria. A survey instrument was created and tested to validate this approach using the following process in two sequential steps:Scientific experts were first asked to weight their preferences toward the attributes shown above with respect to their relative importance in determining the transformative potential of any new medical innovation in the marketplace. To accomplish this, a \u201cbudgeting\u201d survey design was used to elicit implied preferences for the importance of certain areas through having respondents assign point values across the entire set of attributes shown above from a limited budget of total points. For this evaluation, a 100-point budget across the 13 attributes was used to determine importance weightings.Scientific experts were then asked to review a refined list of medical innovations identified from the early signals analysis using a Likert scale survey design to elicit measures for how they viewed the potential transformative impact of a given innovation in each attribute area. This took the form of a 0-5 rating system, where a score of 0 represents a predicted outcome of no transformative change relative to the current state of medical science and treatment, a score of 1 indicates a very insignificant transformative impact relative to current conditions in medical science and treatment, and a score of 5 indicates a very significant transformative impact relative to current conditions in medical science and treatment. In the survey, respondents are given the opportunity to include any additional attribute areas they feel are important to transformative impact in the medical space that is not present in the evaluation set provided as well as the opportunity to score the medical innovations along with those attributes.The results from the assessment of the early signal analysis by the Scientific Advisory Committee on which of the emerging medical innovations held the highest potential for transformative impacts set the stage for considering candidates for the Sanford Lorraine Cross Award. In doing so, we now have an award focused on the key issues of our time \u2013 celebrating transformative medical innovations of today and the researchers and clinicians playing a key role in overcoming scientific challenges, forging collaborations and ensuring that the emerging transformative medical innovation crosses the finish line to improving the lives of patients.To address the need for a new type of medical innovation award that celebrates those medical researchers and innovators demonstrating the determination and success in advancing translational research for emerging transformative medical innovations, the Sanford Lorraine Cross Award has developed a unique data-driven methodology that inverts the traditional medical award selection paradigm \u2013 truly innovative areas of discovery and breakthrough science are identified independently of candidates and used to then focus candidate selection on the areas with the most promising transformative potential for patients. This unique approach allows identification of medical innovations on the cusp of achieving breakthrough outcomes for patients and allows the award to target individuals leading those emerging transformative development efforts.For the inaugural award process, a robust set of different medical innovation areas were identified that are actively contributing to cutting edge science across a variety of medical disciplines. The area of emerging transformative medical innovation ultimately selected for the inaugural award from this grouping that had the highest potential for near term breakthroughs was centered around gene therapy applications. Alongside key advancements in the development of modified viral delivery vectors such as tailored adeno-associated viruses, recent activity in this space has addressed issues with the delivery of fragile DNA molecules without degradation or potentially dangerous immune responses.The pioneering innovators identified within this space leading activities that are having clinical impacts today that was considered as finalists for the Lorraine Cross award were as follows:Jean Bennett, M.D., Ph.D., and Katherine A. High, M.D., whose work with the RPE65 mutation has reversed an inherited form of blindness. Bennett and High pioneered gene therapy, took it to clinical trials, and then received FDA-approval for the treatment, the first FDA approval of a gene therapy for a genetic disease. High also cofounded Spark Therapeutics, a fully integrated, commercial gene therapy company working to accelerate the timeline for bringing new gene therapies to market. Bennett is a professor of ophthalmology at the University of Pennsylvania, and high is president and head of research and development at Spark Therapeutics.Brian Kaspar, Ph.D., whose lab discovered a gene replacement therapy approach that seeks to change the course of spinal muscular atrophy (SMA) by addressing its genetic cause. SMA is a devastating disease that robs babies of basic muscle functions, like breathing and swallowing, and in its most severe form (Type 1), usually leads to death by age 2 years. An initial clinical trial using the AAV9 vector to treat SMA Type 1 demonstrated a dramatic survival benefit and rapid improvement in motor milestones. Kaspar is the scientific founder and chief scientific officer of AveXis, a gene therapy company that was acquired by Novartis in 2018.James M. Wilson, M.D., Ph.D., whose work helped define the scientific and ethical standards for advancing gene therapies through FDA-approved clinical trials. He is the director of the Gene Therapy Program, the Rose H. Weiss Professor and Director of the Orphan Disease Center, and a professor of Medicine and Pediatrics in the Perelman School of Medicine at the University of Pennsylvania. In 2008, Wilson and the University of Pennsylvania cofounded REGENXBIO, Inc., a clinical-stage biotech company designing gene therapy products.After intensive consultation, the winner selected by the Sanford International Board of the first Sanford Lorraine Cross Award was Jean Bennett and Katherine High. The inaugural winner and other finalists exemplify the criteria outlined in the vision of the award and help to validate the methodology used to identify areas of innovation activity that is well-positioned within the translational research pipeline to have significant near-term patient impacts.Additional areas of potentially transformative medical innovation identified by the early signals process will be monitored for ongoing developments and can be included alongside an updated set of early signals data at later times to re-evaluate transformative potential relative to future activities. In addition to allowing the most relevant areas and individuals to be selected dynamically as research focuses and the state of medical science changes, this approach helps control for any bias toward certain areas of established science over time within the selection process."}
+{"text": "Joint mSocio-affective components of joint musical engagement have been postulated following empirical investigation of joint music-making and group music-listening and practical considerations for using computational techniques in social science research is covered in a review paper by Martinez . ConcernThis article has summarized recent developments in music psychology and related fields that may be applied to detecting emotional contagion in music. We have discussed this research in terms of how it may be incorporated into existing experimental paradigms in scientific studies of music. We hope to encourage further findings regarding the means by which various forms of musical engagement can result in positive prosocial consequences for a broader population.IH conducted literature reviews in order to gather necessary evidence and to generate initial drafts. MBK assisted argument development and expanded source material. Both authors approved the final version of the manuscript.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "The standard treatment for locally advanced rectal cancer (LARC) includes neoadjuvant chemoradiotherapy (nCRT) followed by total mesorectal excision (TME) and adjuvant chemotherapy.P\u2009<\u20090.01). The authors\u2019 proposed radiopathomics strategy and signature escaped the limitation of using only medical imaging to depict the whole tumor and decreased the potential risk of overlooking tumor heterogeneity by adding micro-scale pathologic information.In this study,This study provided evidence that the radiopathomics strategy of combing the images of both radiology and pathology is a potential strategy for predicting the variation in pathologic response before nCRT. More quantitative and multi-scale tumor information powered by the information fusion method was able to improve the heterogeneous description of tumors and enhance the performance of the model for restaging patients. As such, future studies should focus on the integration of gene and protein information to construct a more comprehensive tumor prediction model from the macro radiological information of tumor to the micro pathological information of tumor. The biologic interpretation between radiomic and pathomic features also should be central to future studies."}
+{"text": "Previous literature has analysed the effects of establishment regressors on different measures of restaurant financial performance Specifications table\u2022This data set can be beneficial to analyze the factors that determine the profitability of corporations in the restaurant industry.\u2022This dataset can be used to conduct different studies on the heterogeneous pattern that profitability of European restaurant corporations presents at country level. These studies would benefit from the creation of company profiles within each country based on financial determinants of profitability.\u2022The data can be useful for business managers and public institutions with an interest in tourism. Understanding the causes of heterogeneity among countries provides useful insights for companies\u00b4 business growth and location strategies.\u2022The analysis is useful when discovering new and innovative sources of strategic competitive advantages.1Data were collected by using a multi-step approach to address their objectives with solvency. The first dataset was obtained through a sample consisting of 860 restaurant corporations selected from the total population of active restaurants in Europe in 2018. A random sampling technique was applied to stratify 18 European countries with a sample error of less than 1%. This dataset includes financial indicators obtained from the corporate financial statements from Amadeus Database by Bureau Van Dijk. The second dataset concerned contextual variables and shows macroeconomic and tourism indicators related to the countries in which the restaurant corporations in the sample are active.The data file spreadsheet accompanying this article consists of 860 rows and 20 columns of data. The first four columns collect the identification code of the company and the country where the company operates. The rest of the columns include financial indicators and contextual variables. In the group of financial indicators, two measures of corporate profitability are considered: Return on equity (ROE) is calculated as profits available to equity shareholders/equity shareholders\u2019 funds of corporate and Return of assets (ROA) is calculated as earnings before interest and tax/total assets. In addition, information is also included on other financial indicators such as Fixed assets ratio 2In general, the transnational analysis of the financial performance of restaurant corporations exhibits a hierarchical data structure, which does not match the statistical properties of a random sample. Specifically, companies from the same country share common economic and tourism environment conditions. Some of these characteristics are included in the dataset. However, other contextual variables may be unobservable and, although the coefficients estimated by standard regression remain consistent, standard errors may be biased The figures above demonstrate that country effects vary randomly but also that significant variance exists in the level of financial performance within and between countries. We can explain the causes of such heterogeneity between countries, adding contextual regressors, which could help to understand the impacts of economic conditions and the tourism environment on corporate profitability. For instance, Therefore, the dataset associated to this paper sheds light on an important issue still inadequately explored in the literature on companies\u2019 financial performance. Although traditionally, stakeholders have managed companies\u2019 financial performance based on their economic and financial indicators, the dataset shows additional indicators related to the country in which a company operates, which allows us to understand the causes of heterogeneity among countries in a context of internationalised companies and globalised markets. Future research using hierarchical linear models could facilitate the creation of company profiles based on both their financial variables and each country's specific economic and tourism environment. Moreover, the data included in this paper is also relevant to guide further research to improve knowledge of the determinants of corporates\u2019 profitability in the restaurant industry.The authors declare that they have no known competing financial interests or personal relationships that could have influenced the work reported in this paper."}
+{"text": "Thymus regenerative therapy implementation is severely obstructed by the limited number and expansion capacity in vitro of tissue-specific thymic epithelial stem cells (TESC). Current solutions are mostly based on growth factors that can drive differentiation of pluripotent stem cells toward tissue-specific TESC. Target-specific small chemical compounds represent an alternative solution that could induce and support the clonal expansion of TESC and reversibly block their differentiation into mature cells. These compounds could be used both in the composition of culture media designed for TESC expansion in vitro, and in drugs development for thymic regeneration in vivo. It should allow reaching the ultimate objective - autologous thymic tissue regeneration in paediatric patients who had their thymus removed in the course of cardiac surgery. Thymus is an essential organ of the immune system since it is the main site of T lymphocyte production and the place of adaptive immunity regulation. The thymus significance for development and function of the immune system is the centre of hot discussions since the 1961, when thymus function was first discovered by Jacques Miller \u20137. AccorCurrent epidemiological data indicate that almost 1 in 100 children is born with a congenital heart defect , and theFoxn1 expression could be used to identify the human TEPC/TESC population(s) for 2013\u20132017, the Scientific Centre of Excellence for Reproductive and Regenerative Medicine , Terry Fox Foundation and InnovaTRT project that was submitted for funding to the European Union\u2019s Horizon 2020 Programme for 2019\u20132024 . The authors have no other relevant affiliations or financial involvement with any organization or entity with a financial interest in or financial conflict with the subject matter or materials discussed in the manuscript apart from those disclosed."}
+{"text": "The TeleDementia Clinic is an interdisciplinary longitudinal telehealth dementia clinic providing care to rural Veterans in Western Pennsylvania with cognitive decline. The TeleDementia Caregiver Support group uses telehealth to provide caregiver support and education to those caregivers with the highest levels of caregiver burden in this population. The support group has caregivers participating in the session at different rural clinics while a multidisciplinary team of professional are located at an urban VA medical center. All can interact via video telehealth connection. Each session provides a short educational session on caregiving topics that then provides a springboard for caregiver discussion about their own experiences. The multidisciplinary clinician team lend their expertise to the education and support of caregivers. Both quantitative and qualitative analysis of effectiveness of this model will be discussed."}
+{"text": "The authors wish to make the following corrections to this paper :In the Materials and Methods Section 2.2.1, part of the method was incorrect and instead ofEscherichia coli. After confirmation of the integration plasmid by restriction analysis and sequencing, purified plasmids were electroporated into the fusobacterial strains used in this study to generate the respective derivatives lacking target genes according to previously described protocols [29]\u201d.\u201cThe plasmid DNA of the recombinants were isolated with the Qiagen Mini prep kit and the presence of construct was confirmed by restriction digestion and sequencing. The construct was further subcloned in the suicide vector pHS31 as follows: both the fusion construct and pHS31 were digested with EcoRI/BamHI and purified prior to ligation and transformation into The method should be:\u201cThe plasmid DNA of the recombinants were isolated with the Qiagen Mini prep kit and the presence of the construct was confirmed by restriction digestion and sequencing. Further, purified plasmids were electroporated into the fusobacterial strains used in this study to generate the respective derivatives lacking target genes according to previously described protocols [29]\u201d.The authors would like to apologize for any inconvenience caused to the readers by these changes."}
+{"text": "The fastest growth of population living with cognitive impairment takes place in China. The estimated prevalence of cognitive impairment among older adults in China is between 13% and 20%. This study focused on persons with cognitive impairment (PWCI) and their spousal care partners to explore how spousal relationships impact dyadic experiences of living with cognitive impairment through a person-centered care lens. We conducted a longitudinal qualitative study of 10 dyads of PWCI and their care partners over three years with three data collection time points. Our findings suggest that the complexity of changing experience of living with cognitive impairment is interpreted in the dynamic nature of their spousal relationship and relationship with others, patterns of communication, daily activities and care during the extended period of cognitive decline. It is crucial to help them nurture the belief that there is a significant meaning in the journey of living with cognitive impairment."}
+{"text": "NIHR GOSH BRC. The corrected Funding Statement appears below.In the original article, we neglected to include the funder This work was supported by an Action Medical Research project grant (SN4051). Financial support for LH was provided through the regional agreement on medical training and clinical research (ALF) between Stockholm City Council and Karolinska Institute. TB was supported by the NIHR GOSH BRC.The authors apologize for this error and state that this does not change the scientific conclusions of the article in any way. The original article has been updated."}
+{"text": "This presentation will focus on two projects that aim to inform and educate communities through community based intergenerational programs. An additional link is collaborating with community partner staff on the potential to improve health outcomes with the integration of generations in programming. Through inter-professional collaborations, these projects focus on two areas: reducing social isolation and loneliness among rural older adults through an intergenerational technology program with university students and modifying the implementation of an evidence-based preschool nutrition program for an intergenerational setting. This presentation will focus on the benefits of using community based intergenerational programs and experiential learning opportunities. Aims of this presentation are to highlight how issues related to social isolation and loneliness can be mitigated by incorporating experiential opportunities for university students while simultaneously supporting university students\u2019 preparation for engaging in an intergenerational workforce."}
+{"text": "The aim of this Special Issue on the deregulation of cell death in cancer is to bring together recent perspectives on the relationship between tumorigenesis and programmed cell death (PCD). According to the World Health Organization, cancer is the second leading cause of death worldwide, and in 2018 it was responsible for an estimated 9.6 million deaths. The human genome is exposed to mutations during the course of life, and while many have no impact on individual health, others (heritable or acquired) are responsible for carcinogenesis. It is becoming ever clearer that defects in intracellular signaling pathways lead to altered gene functions and malignant cellular transformation . The altThe reactivation of altered or silenced cell death pathways may improve outcomes in cancer. The development of new drugs able to modulate specific molecular targets involved in cell death mechanisms may provide more efficient therapeutic strategies for cancer treatment."}
+{"text": "Dear Editor, We would like to congratulate the authors for documenting this interesting phenomenon.We are writing to share our observations regarding the article \u201cMultiple pit defects of unknown etiology in a foldable hydrophobic intraocular lens\u201d by Thabit et al. Factors such as ocular inflammation and systemic comorbidities that affect ocular metabolism may contribute to the opacification of IOLs. Surgical interventions with the injection of different materials into the anterior chamber such as air or gas seem to increase the risk of IOL opacification, particularly in hydrophilic IOLs. The pits are limited to a more or less circular area of the anterior optical surface of the IOL corresponding to the zone of contact with the instilled air or gas.The authors mentioned no obvious reason for the formation of pit-like deposits on the anterior surface of the intraocular lens (IOL). We want to disagree with this statement in that IOL pit formation is a well-established phenomenon where opacification of hydrophilic acrylic IOLs occurs after corneal transplantations such as penetrating keratoplasty and Descemet's stripping endothelial keratoplasty (DSEK). It is our observation that opacification of hydrophilic IOLs develop in eyes that undergo DSEK and receive an air tamponade intraoperatively [Figures 1 and 2].Prolonged breakdown of the blood-aqueous barrier has been suggested as a contributory factor in IOL pit formation. The air in the anterior chamber causes dehydration of the anterior surface of the hydrophilic IOLs, and postoperative inflammation induces a metabolic change in the anterior chamber leading to an increase in aqueous proteins and calcium content that causes subsequent crystallization of the lens."}
+{"text": "The main objective of this article was to present some of the engineering noise control methods that are currently being used across the world in the mining industry, while at the same time interrogating noise control measures that could be applied to effectively reduce noise emissions from the equipment utilised within South African mines.A brief summary of the hearing conservation programmes used in South Africa is presented. Summarised research on the use of engineering noise control in South Africa is also presented, with an overview of the various engineering noise control methods applied across the world in dealing with occupational noise.For illustrative purposes, case studies were used to show how engineering noise controls could be used to reduce the noise levels and risks within this context.Some of the case studies used have cited a reduction in the noise intensity emitted by machinery from a range of 93 dBA \u2013 104 dBA to a range of 90 dBA \u2013 94 dBA, demonstrating quite a significant reduction in the noise emission of the equipment. This article further provides recommendations on how South African mines could contextualise these methods.One of the key recommendations is encouraging the South African mining industry towards the documenting and publishing of those engineering noise control methodologies that have proven to be effective for shared best practice. A need was identified for extensive research to be conducted and documented evidence to be made available to assist the South African mining industry with locating and assessing current engineering controls available in South Africa. Machines and processes that require noise control should be identified and, lastly, the current barriers to the use of engineering noise control methodologies should be identified, with the main goals of finding ways to overcome the noise challenges in the mines. Noise may be defined as an undesirable sound lacking musical quality pillarsOverview of engineering noise control methodsSummarised research on the use of engineering noise control in South AfricaFor illustrative purposes, Case studies of engineering noise control methods currently being used across the world are used to show how engineering noise controls can be used to reduce noise levels in this context.Recommendations on how South African mines can contextualize the noise control methods used by the rest of the world.The engineering noise control methods can be divided into: Control of noise at source, control of noise propagation and receiver control as shown in Gumede, Blomerus, Coutts and De Beer conducteSensogut documentCase studies show how engineering noise controls can be used to reduce noise levels in this context. Nikola, Aleksandar, Dinko, Vladimir and Uros proposedThe research by Sensogut , using aThe Peterson proposedPeterson, Miller and Yantek (2014), working with the National Institute for Occupational Safety and Health (NIOSH), visited a collaborating mine and investigated a haul truck underground in a shop area using Source Path Contribution (SPC) techniques for Noise Source Identification (NSID) . Further studies were conducted in 2018, using dosimetry and time motion to determine when an operator accumulates the most noise dose (Peterson, Engineering noise controls that have been discussed may be implemented in the South African mines, for example, by enclosing noisy places, using correct sound barriers and using curtains and retrofitted noise control packages. There is limited published evidence from the South African mines that document how engineering noise controls have contributed towards a reduction in noise emission from equipment. Mining companies and research centres in South Africa should consider partnering with NIOSH because of their extensive documented research work on ONIHL in the mines, to extend and contextualise their research to South African mines. The South African mines should thereafter consider conducting research and the documented evidence should be made available to assist with locating and assessing current engineering controls in South African mines. This research work should also include identification of machines and processes that require noise control. Current barriers to the use of noise control should be identified with the main goals of finding ways to mitigate them.This article is not a systematic review paper; hence, not all engineering noise control methods currently have been applied. The engineering noise control method as a technique to mitigating noise in the mines has been presented. Case studies from around the world and how they can be contextualised to the South African mining industry have also been presented. A follow-up to this work would include the documentation of a strategic plan that would encourage the mining industry to publish the noise control interventions that have currently worked for them."}
+{"text": "Phytophthora cactorum) was duplicated in Phytophthora cambivora) and two representative images for cucumber damping-off symptom were overlapped in In the original article, there were mistakes in The authors apologize for this error and state that this does not change the scientific conclusions of the article in any way. The original article has been updated."}
+{"text": "Following publication of the original article , the autPlease be advised that the Acknowledgements are as follows:\u201cWe would like to thank Jacob Kroeker, Katie McKearney, Arthur MacDonald and funding support from the Atlantic Canada Opportunities Agency (Atlantic Innovation Fund) for the development of the working memory training protocol. RH is supported by a Guangzhou Planned Project of Science and Technology grant (2016201604030018).\u201dThe original article has now been corrected to include this declaration.The publisher apologizes for any inconvenience caused."}
+{"text": "Behavioral health and substance use disorders are significant problems among older adults who are experiencing homelessness. This presentation describes the components of a social work field education model for preparing practitioners to work effectively in community-based agencies using the Hartford Practicum Partnership in Aging Educational (HPPAE) model. A planned and systematic transition from one field setting to another with the goal of giving students a range of practice experiences with various service delivery systems to address social isolation and other social determinants of health. This exploration of demographic and social action factors that may impede or foster success among community-dwelling older adults offer insight and guidance for constructing a conceptual and theoretical model a social justice framework in geriatric social work practice and research."}
+{"text": "The authors report on results of a randomized prospective trial in comparable groups of patients with intrarenal stones treated by flexible ureteroscopy and laser lithotripsy . PatienThey find no significant difference in OR times, hospital stay, postoperative pain, fluoroscopy times or stone free rates defined as 2mm or smaller fragments on non contrast CT one month post treatment.The sentinel finding in this study was an increased complication rate in the regional anesthesia group comprising patients with either bradycardia, mucosal tear or hemorrhage. They attribute the mucosal injuries and bleeding to a lack of good control of laser energy secondary to respiratory excursion of the kidney in patients under regional anesthesia. Moreover \u201csurgeon comfort\u201d which was subjectively measured during the procedure was also significantly less in procedures performed under regional anesthesia.While the numbers are small these results are interesting and emphasize the point that intrarenal surgery with a flexible ureteroscope and laser is an operation of millimeters. Both as regards the stone fragmentation and in avoiding tissue injury. Stones in the mid to distal ureter are relatively unaffected by significant respiratory excursion while those in the kidney can be subject to substantive movement especially in the awake patient. It would have been desirable to have more information on the detailed questions in the surgeon comfort questionnaire and whether this is a validated tool. Nonetheless this study does inform us of some of the pros and cons of differing anesthesia methods for retrograde intrarenal surgery and thus discussions with patients and our anesthesia colleagues."}
+{"text": "Through the theoretical framework of the Social Comparison Theory, the current study will examine general attitudes and perceptions of body image in senior adults who are currently participating in organized recreational activities. Participants between the ages of 50 years of age and older participating in organized recreational programs in the Southeast will be administered the Sociocultural Attitudes Toward Appearance Scale (SATAQ) to measure participants\u2019 body image as influenced by general media, athletic and sport figures, as well as pressure to conform to the media ideal. The Figure Rating Scale will be administered, and is composed of nine drawings of bodies that progressively increase in size from very thin to overweight. Pearson product moment coefficient of correlation will be used to determine the association of scores between the SATAQ and Figure Rating Scale."}
+{"text": "Middle East Respiratory Syndrome Coronavirus (MERS-CoV) is a disease first reported inSaudi Arabia in 2012 and it can be transmitted from human to human. This disease hasspread to several other countries, most confirmed cases have displayed symptoms of severeacute respiratory illness and many of these patients have died. This research is aimed toconstruct a mathematical model for the transmission of MERS-CoV in two areas by separatingthe human population into two groups; susceptible and infectious groups. The dynamics ofthe disease is studied by a compartmental model involving ordinary differrentialequations. The basic reproductive number of this disease is discussed to control theoutbreak of this disease. Sensitivity analysis of this model is performed to determine therelative importance of the model parameters to the MERS-CoV transmission."}
+{"text": "Economic inequality has grown rapidly in all age groups in the past several decades. In each successive cohort, the wealth gap grows for young people and seems to accelerate faster over the life course. While rising inequality has taken its toll on Baby Boomers, we have become acutely aware of the increasing economic pressures across the entire life course that will manifest in the greatest degree of inequality in older adulthood seen to date. This session explores the forces that have shaped the degree of inequality among current older adults and are setting the stage for future cohorts of older adults. Presenters will explore several aspects of this issue: the growing state of the \u201crisk retirement,\u201d the impact of income inequality on later-life wealth and health, the structural racism written into economic policies intended to help Americans accumulate wealth and maintain health, and the market disadvantage for GED recipients compared to high school diploma recipients."}
+{"text": "GSA's Public Policy Advisor will lead a discussion of legislative activities related to elder abuse, neglect, and exploitation during the past year. The panel will examine successes and failures and what may still be possible in the lame duck session and the next Congress."}
+{"text": "Fear extinction learning is considered a key process for a successful treatment of anxiety disorders and the post-traumatic stress disorder (PTSD) A recent review The scientific literature has also shown that in the context of reward and aversion processing both chemical messengers work in antagonistic way Worthy of mention is also the necessity to clarify whether the role played by dopaminergic and serotoninergic systems in fear extinction learning is inexorably interdependent, or it is possible to identify a degree of autonomy in each system with regard to the process of fear extinction learning. A closer look at the process of fear extinction could add some timely insights in this regard.When speaking about fear extinction it is important to distinguish between learning and consolidation In conclusion, the current research leaves open the hypothesis that the effect of dopaminergic system on learning of fear extinction memories could reflects, at least in part, some interaction with serotonergic system. Therefore, both monoamine should be simultaneously considered when speaking about fear extinction. This is supported also at the neural level, as the serotonergic system of the dorsal raphe nucleus"}
+{"text": "The 2019 Minnesota Legislature requested the Department of Human Services (DHS) and Minnesota Board on Aging to develop and administer a report card for assisted living (AL), including conducting annual resident and family surveys in Minnesota AL settings. This presentation includes the perspectives of representatives from MN DHS and Vital Research, as well as the University of Minnesota team who worked together to develop survey items, carry out the cognitive testing, and conduct analyses. Survey items were developed from published literature and existing tools on assisted living quality and underwent testing with MN stakeholders and cognitive testing with MN AL residents. Pilot testing assessed any further changes that needed to take place for resident and family satisfaction with AL quality (n=400). Presenters will share lessons learned with implementing the new tools and different aspects of the of the report card development and implementation process as well as the survey findings."}
+{"text": "The study of gerontology across different generational cohorts is not static but rather dynamic. As we consider teaching gerontology to different age cohorts, what similarities and differences do exist? How do the educational needs within higher education differ across the different cohorts of the workforce? This presentation aims to identify and present specific learning needs and styles of the millennial cohort, as compared to other generational cohorts with the effort of building educational strategies for this workforce cohort. The presentation will also address the unique needs that a rural workforce faces and how to address these within the millennial cohort. Strategies such as online learning, flip classroom, experiential strategies and research projects/practicum will be addressed with a specific focus on the engagement of the millennial student. These strategies are all described within the context of teaching gerontology through a specific Certificate in Gerontology program located on a rural campus setting, but meeting the educational needs of people across the country."}
+{"text": "Increased survivorship and longevity have resulted in dramatic improvements in life quality for people with significant disabilities and impairments. However, the fields of rehabilitation and gerontology have tended to divide this phenomenon into people aged under 65 aging with lifelong and early onset disabilities, and those aged 65 plus who are aging into late onset disability. But for both groups, increased survivorship also translates into more years living with comorbidities associated with the underlying condition and increased risk for premature onset and higher rates of age-related chronic conditions. Despite these widely acknowledged trends, we have no national data systems that estimate the overall prevalence of the \u2018aging with long-term disability\u2019 population and monitor its status. Acknowledged is that the lack of national data and reliance on chronological age undermines our knowledge of the disablement experience across the life course and the needs for services and supports associated with diverse trajectories. Part of a symposium sponsored by the Lifelong Disabilities Interest Group."}
+{"text": "Loneliness is a risk factor for poor quality of life among older adults. Social media use provides a new dimension of communication for older adults to connect with people and to maintain social relationships. However, research has been inconclusive about whether social media use reduces loneliness among older adults, which is due in part to a lack of appropriate measures for capturing different types of social media use. Furthermore, little is known about the underlying mechanisms through which social media use is associated with loneliness. This study investigates the association between social media communication with close social ties and loneliness among community-dwelling older adults (65+), and further examines the mediating role of social contact and social support in the association. Data from the 2014 wave of the Health and Retirement Study (HRS) are analyzed to address our research questions . Path analyses are employed to examine the relationships among social media communication with close social ties , frequency of contact with social ties , perceived social support from social ties, and loneliness . The results show that a higher level of social media communication is associated with lower levels of loneliness through social contact and perceived social support. Moreover, the relationship between social media communication and perceived social support is partially mediated by social contact. These findings suggest that social media communication may be considered an intervention that may reduce loneliness among older people."}
+{"text": "Dear Editor,JournalRacial disparity in prevalence and incidence of atrial fibrillation (AF) are known to exist While the reported increase in AF prevalence in Thailand is in concordance with the previous projection in Asian countries Notwithstanding, epidemiological data of AF in Asian Pacific region is scare, high quality data similar to that from Suwanwela and colleagues is urgently needed to inform policymakers and clinicians in the allocation of limited health care resources.The authors declare that they have no known competing financial interests or personal relationships that could have appeared to influence the work reported in this paper."}
+{"text": "While the use of photographs is an emerging data generation method within phenomenology , research that incorporates photo elicitation to inform the understanding of the lived experience is limited. This presentation will describe the use of photo elicitation within a phenomenological approach to explore the lived experience of older learners in higher education. After an initial interview, six participants aged 50 years and older shared photographs that that they chose to depict experiences of being student at a regional comprehensive university in the Midwest. Photographs served as mode for participant reflection of their experiences and guided a second interview. Interpretative Phenomenological Analysis with photographs and verbatim transcripts ensued and resulting findings included: complicated sense of belonging and community development and access. Implications for use and analysis of photographs within qualitative research will be discussed."}
+{"text": "Globally, people are living longer with the Human Immunodeficiency Virus (HIV) and older individuals are becoming infected. Menopause symptoms affect women\u2019s health and are associated with perceived declines in wellbeing. This study assessed and compared the menopause symptom experience and perceived wellbeing among HIV positive and negative older women in Ibadan Nigeria Focus group discussions were conducted among menopausal women attending the ARV and GOP clinics at the University College Hospital Ibadan. Opinions of discussants on knowledge and experience of menopausal symptoms, perceptions about the menopause and perceived health status were explored. A total of 90 HIV positive and 92 HIV negative women aged between 40 to 60 years were sampled. Knowledge of the cause of menopause was poor, with more HIV positive women opining that sexual promiscuity causes menopause. The majority of the discussants had adequate knowledge of menopausal symptoms with most of them reporting vasomotor and musculoskeletal symptoms. In both groups, perceptions about the menopause were generally positive as most of them opined that the menopause means freedom from sexual activity and child birth. More HIV negative women perceived themselves to be in good health compared to HIV positive women. Menopause induces many of the same metabolic changes that are being observed with HIV infection, and this may affect the health and quality of life of aging women with HIV infection. There\u2019s a need for health education and health promoting interventions that will help these women in coping with the double burden of HIV infection and menopause."}
+{"text": "The demographic bulge created by the baby boom generation has shaped American politics since they came of age in the 1960s. Over the next decade, aging issues will become more relevant as the oldest boomers reach 84 and the youngest boomers will be eligible for Medicare. This paper highlights three converging trends that will shape United States politics; including increased spending on \u201centitlement\u201d programs like Social Security and Medicare, growing mismatch in caregiving need and supply, and the heightened concentration of older adults in certain geographic areas. The next decade will see not only extraordinary demographic change but also unprecedented advances in technology and medicine, and cultural and societal shifts that were once unimaginable."}
+{"text": "Studies examining communication during clinical handovers involving paramedics are rare. A recent National Institute of Health Research (NIHR) report has noted a significant gap in our knowledge and understanding of what happens during clinical handovers between ambulance services and emergency departments. This PhD study has used a video analysis to understand issues in communication and teamwork during these clinical handovers by examining cases of good practice.24 Hours in A&E and The Real A&E, was conducted. This methodology emphasised the capturing of real-world practice, without the limitation of semi-structured interviews which are reliant on recall of events. These examples highlighted how interprofessional teamworking and communication were conducted during these high pressured and complex situations. The videos were transcribed verbatim and idiosyncratically to show variances in the style of communication as well as the non-verbal actions used by the staff during the exchange of patient information.A video analysis of 100 examples of handovers from different TV programmes, including The emergent findings demonstrate a variety of interactional strategies that paramedics use when conducting handovers. These strategies often involved a paramedic team member drawing attention to themselves by stating they were ready to do the handover or loudly introducing the patient\u2019s name. This was typically followed by an account of the treatment the paramedic team provided and ended with questions from those receiving the handover. The questions asked by the receiving team would be about the treatment provided and during this exchange the paramedic team would justify the methods used in assisting the patient. When handovers were being taken for high-risk patients, for example \u2018haemorrhaging of a femoral artery\u2019, the structure of the handover changed. In such examples, the paramedic team were found to dictate how the receiving team handled continuation of treatment for the patient.The variations in handover examples that have been captured and analysed have been beneficial in understanding the interactions between paramedics and the emergency care team. Initial findings have shown how the structure of communication during handovers can be altered due to situational or contextual factors. These results have highlighted where potential improvements in communication can be made during handovers, which would subsequently increase patient safety and experience."}
+{"text": "Journal of Cachexia Sarcopenia and Muscle, we read with great interest the article by Veltkamp et al. \u201cExperimental ischaemic stroke induces transient cardiac atrophy\u201dIn the recent issue of the In the present study, the authors investigated cardiac function in mice with experimentally induced acute cerebral ischaemia by middle cerebral artery occlusion (MCAO). Animal models have been well\u2010established to study pathophysiology of wide range of medical conditions including ischaemic stroke, cancer, cachexia and heart failure.The authors declare that they have no conflict of interests and certify that they comply with the ethical guidelines for authorship and publishing in the Journal of Cachexia, Sarcopenia and Muscle."}
+{"text": "Of the many changes to the OAA, the Modernizing Allotments for Vulnerable Elder Rights Protection Activities and Other Programs section included notable changes. This bill specifies that Title VII programs will receive a 7% increase in 2020 and a 6% increase in the following four fiscal years. It extends the Supporting Grandparents Raising Grandchildren Act for an additional year. The reauthorization ensures that ombudsman representatives can be reimbursed for costs incurred through their services. The Act requires that the Government Accountability Office study federal programs for home modification assistance for older adults and individuals with disabilities. The Act directs the Administrator of the Administration for Community Living to continue the 2017 requirement of disseminating and soliciting feedback on the Principles for Person-directed Services and Supports during Serious Illness. This reauthorization updates home and community-based best practices; and elder justice activities, including community outreach and education to bolster community partnerships."}
+{"text": "In the appropriate clinical context, bland urine sediment with little cellular activity and primarily hyaline or few finely granular casts suggests AKI is due to a functional decline in GFR from renal hypoperfusionThe utility of a urine sediment score based on RTECs and granular casts was demonstrated in 231 patients with hospital-acquired AKI from either prerenal azotemia or ATI--Urine microscopy can also predict important clinical end points. In the studies described in In this issue of the Brazilian Journal of Nephrology, Goldani and colleagues examine the utility of urine microscopy (urine sediment score based on RTE cells and granular casts) in identifying AKI in patients undergoing cardiac surgeryOne of the major negatives of this study is the low sensitivity of urine microscopy in identifying AKI, a finding noted in other studies. It is likely that a number of AKI patients in this study had prerenal azotemia as the majority of AKI was stage I, which recovered back to baseline in 24 hours. One would expect the urine sediment in these patients to be bland. Identifying these patients and separating those from patients with higher stage or persistent AKI (>48 hours) would have likely improved the sensitivity of the test, but may have reduced specificity.In summary, the authors are to be applauded for performing this study and adding to the literature supporting the continued use of rigorous examination of the spun urine sediment in the evaluation of patient with or at risk for AKI."}
+{"text": "This international symposium brings together leading occupational therapy researchers from around the world with a shared focus is on evaluating and improving the driving performance of older adults to decrease their crash risk and facilitate their community participation. In this session, five groups of international scholars will share their collective and individual research outcomes for driving as a means of community mobility. The first presentation will outline their collective international, cross-sectional study of 247 older adults from seven countries where the impact of driving on out-of-home mobility was compared. Each presentation that follows will then present results from innovative studies of ways in which to assess and address fitness to drive in older adulthood. Our discussant will summarize the potential expansion of the current work and engage the audience through interactive questions. Transportation and Aging Interest Group Sponsored Symposium."}
+{"text": "Children with intellectual disability are susceptible to poor experiences of care and treatment outcomes, and this may compound existing health inequities. Evidence to date indicates three priority areas that must be addressed in order to reduce these inequities in the safety and quality of care for children with intellectual disability. Firstly, we need reliable methods to identify children with intellectual disability so that healthcare organizations understand their needs. Secondly, we need to develop quality metrics that can assess care quality and unwarranted care variation for children with intellectual disability in hospital. Finally, for a comprehensive understanding of the safety and quality of care for these children, and how to improve, it is critical that healthcare organizations partner with parents/carers and enable children with intellectual disability to voice their experiences of care. Children with intellectual disability have higher healthcare utilization than their peers; yet, their voice is rarely sought to optimize the safety and quality of their healthcare experience. Patient experience narratives enhance our understanding of the genesis of adverse events. By addressing these priorities, children with intellectual disability will be identified, and health services will measure and understand the problematic and beneficial variations in care delivery and can then effectively partner with children and their parents/carers to address the inequities in care quality and create safer healthcare. Children with intellectual disability are susceptible to poorer quality of care than their peers when they are admitted to hospital, and this may compound existing health inequities for this group. To address this, we must identify these children when they access tertiary healthcare, meaningfully measure their quality of care and enable the patient voice to help optimize their healthcare experience.ICD\u201010 codes are not reliable for identifying children with intellectual disability when they are admitted to hospital; reliable identification of children with intellectual disability is the first step in understanding where and how clinical variation occurs.Understanding of the patient and system factors underlying unwarranted clinical variation for children with intellectual disability can enable healthcare organizations to adapt care delivery to ensure high\u2010quality services to meet the needs of the child with intellectual disability.Partnering with these children and their carers to hear their experiences of care will enable healthcare organizations to call attention to and emulate examples of good care quality experiences for these children.1People with intellectual disability have higher rates of health care utilization with intellectual disability:\u2018Furthermore, the CYP PREMs are not suitable for CYP with moderate or severe learning disability, and further work is required to develop a PREM that is appropriate for their use in terms of both engaging them and eliciting their views.\u2019 Translational Research Fellowship Scheme [2019\u20132021] awarded to LM."}
+{"text": "There is a growing emphasis on diversity and its impact on health care. Our research has focused on migrants who are Mandarin speaking Chinese and Puerto Rican. Through a series of focus groups conducted in their native languages we discovered that barriers to service access differ across the two groups. In addition, many of these services are administered by individual states rather than the federal government. The diversity across migrant groups and state policies creates a challenge in using findings to establish national or international standards for best practices with older migrants. How then can we apply lessons about diversity and the impact of programs on a national and international scale? We propose the use of Social Interaction Modeling as a method for understanding patterns of behavior at both national and international levels, while preserving the unique character of each migrant group and the context within which they live."}
+{"text": "This multi-authored book is the real stimulus for interest in primary care and research. It starts with compelling discussions highlighting the merits and gaps to be addressed only via primary care research. It convinces one of the importance of contextually appropriate evidence for primary care. It further highlights epistemological position that may be unique for this setting, which may allow different methodologies that could have otherwise been applied individually in a different setting to be used to enrich findings.The Matrix cleverly sheds light on different lenses that researchers can take whilst tackling primary care issues through research. The story also compels one to think harder not to disregard these positions before embarking on primary care research. This is the clever way of capturing graphically the readers into these concepts and I find them difficult to forget.The thoughtful weaving of the storyline in the film The book also dispels wrong assumptions and puts into perspective terminologies that are otherwise used loosely in research. The clear example of this is in chapters 4 and 5 where interdisciplinary approach is differentiated from mixed-methods approach. The examples used in these chapters are compelling and successfully drive the idea of interdisciplinary research home.The book is reader-friendly and practical whilst ensuring important themes of research in primary care are thoroughly explained. Multiple author nature allows the readers to see primary care research from different primary care contextual positions, even so through examples provided to discuss each subject. Although research terminology is used throughout the book, the key is application in the complexity of primary care setting.Another important subject described in this book is quality improvement in primary care, how it contrasts with traditional research and important gaps to be addressed through development of this field. This is an important area for African primary care practitioners whose systems are bugged with challenges requiring leadership in the area of clinical governance.It is also the strength of this book that the chapters are precise and not lengthy to guide individuals through important steps in primary care research. The resource boxes in each chapter are also very useful for individuals who want to learn deeper into certain aspects of their research that needs further reading.I find this book useful, practical and user-friendly. I recommend it as a resource for individuals who are starting their journey in research, especially young primary care researchers, residents and teachers of family medicine."}
+{"text": "In the Author Contributions, Catherine Longo should be listed as one of the persons who contributed to Conceptualization and Funding acquisition.The following information is missing from the Funding statement: CL received financial support from the Walton Family Foundation."}
+{"text": "This data article presents on the ectoparasites infestation on small mammals in Peninsular Malaysia. The dataset on ectoparasites infestation is important because it raises a major medical concern regarding the spread of potentially zoonotic disease from wildlife to human. Tick and chigger are the primary ectoparasites as reservoirs of vector-borne diseases found on small mammals in Malaysia. These small mammals that are infested with ectoparasites occupy various types of habitats, including human settlements, could be of community health risks as the carriers of potentially zoonotic diseases. Field samplings were conducted from February 2015 to February 2016 in three different ecological habitats of mixed dipterocarp forest, coastal forest and insular forest, in Terengganu, Malaysia. A total of 35 and 22 species of bats and rodents respectively were captured and examined for ectoparasites. Twenty-three species of bats and 16 species of small mammal were recorded as hosts for at least one species of ectoparasites. These findings show that the highest ectoparasite infestation occurred on bat community. Specification Table\u2022The data is useful in providing the information regarding the ectoparasite species composition and the relationship among the ectoparasites with their small mammal hosts.\u2022The data is valuable for further research to determine whether there are any spatial and temporal changes in ectoparasites composition due to ecological disturbances or climate change.\u2022The data on the occurrence of the ectoparasite-vector are useful in epidemiology study to predict the potential of presence of the zoonotic disease in the studied area.\u2022The data also provide information on the interaction of ectoparasites and small mammal hosts in term of the degree of the specificity and distribution of each ectoparasites species.\u2022The data is vital for the community health and wildlife authorities to monitor the host populations near rural villages and forest edges that maybe the cause of zoonotic diseases spillover.1Systematic field samplings were conducted in three different habitats that are mixed dipterocarp forest, coastal forest and insular forest of Terengganu from February 2015 to February 2016. 2Field samplings on small mammals were conducted in three different habitats in Terengganu including the mixed dipterocarp forest, coastal forest and insular forest off coast islands from February 2015 until February 2016. The description of these habitats has been described by A fine tooth-comb was used to remove all the ectoparasite that attached on the host animal coat. Ectoparasite dropped during combing were collected by using the wet sharpen applicator stick and preserved in the collecting vials containing 70 % ethanol separately for each host small mammals. The vials were labelled with sufficient information and brought back to the laboratory for species identification. The ectoparasites were prepared for mounting on slide and identified according to their taxonomic groups which are mesotigmatid mite ,10, chig"}
+{"text": "A specific feature in the Finnish pension system is rule-based preparation for mortality change. The earned pension capital is adjusted to life expectancy and the lowest age limit of the flexible retirement age will be adapted so that the ratio of expected years in employment and retirement is fixed after year 2030."}
+{"text": "Increases in the numbers of older adults with mental health and substance use concerns compel us to identify best practices in training to address these issues. Senior Centers are an ideal location for behavioral health education programs as they are the go-to place for many older adults. This session will describe a program funded by The Retirement Research Foundation and offered in collaboration with Center for Aging and Disability Education and Research at Boston University and NCOA to increase senior center staff knowledge and skills. Approximately 250 senior center staff in Illinois, Florida, and Wisconsin completed an online certificate in Behavioral Health and Aging. Results show that 100% of respondents felt that the training was useful for their job; 93% felt that they will be a more effective worker as a result of the training; and 97% felt that the information they learned in the training will make a difference with the people they serve. We held key informant interviews to assess the impact of training and participants stated that their knowledge, skills, and behaviors were influenced by the program. At the organizational level, leaders reported new programming related to behavioral health and revised practices and protocols. This presentation will cover: (1) the extent to which training participants mastered the competencies needed for effective practice; (2) knowledge and skills gained from the training program; (3) Senior Centers\u2019 capacity to identify and refer older adults to mental health services; and (4) organizational changes related to behavioral health programming with older adults."}
+{"text": "Biological membranes consist of lipid bilayer matrices enriched with integral membrane proteins and membrane-associated proteins. They not only define cells and cell organelles but also represent the main contact area for intercellular communication, for which membrane transport and signaling are indispensable. Because of their high physiological importance and unique physical and chemical properties, biological membranes have been intensively studied for over 100 years, and membrane physiology remains a flourishing and lively research field. Recent years have witnessed great progress in our understanding of the biophysical basis of membrane transport and its role in generating biological electricity and controlling the intracellular milieu. The workings of ion channels and transporters are understood in a degree of detail that was unimaginable when many of us started our scientific careers. Protein sequences and three-dimensional structures are now available for almost every major ion channel and transporter family allow us to define protein ecosystems for each membrane channel/transporter. Advanced cell culture methodologies also allow us to observe ion transport in intracellular organelles, and techniques are available to study signaling in almost every living cell or organ. Moreover, animal models permit studying the impact of changes in transport protein function or expression on cells and organs, and on the coordinated functions of an intact body.Frontiers in Physiology \u2013 Membrane Physiology and Membrane Biophysics will assist in these development by provide a platform for reporting and discussing novel results with the ultimate aim of correcting membrane transport and organ function and developing hybrid devices that utilize membrane transport protein to link living cells with technical devices.The collaboration between scientists using different approaches and experimental systems will lead to a comprehensive and quantitative description of membrane function at the molecular, cellular, and systemic level in both health and disease in the near future. The author confirms being the sole contributor of this work and has approved it for publication.The author declares that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Dear Editor,Colonoscopy is a technically difficult procedure due to mobility and tortuous anatomy of the colon. It becomes more challenging in women because of deeper transverse colon and a broad pelvis. This challenge further deepens in patients with prior history of a hysterectomy because of multiple adhesions formation leading to acute angulation of sigmoid colon as well as the bowel dipping deeper into the pelvis.2The rate of moderate or severe discomfort varies significantly between women who had undergone a hysterectomy and those who had not. Mild discomfort was noticed in women without a hysterectomy and moderate to severe discomfort was noticed in women with a hysterectomy.3A meta-analysis by Clancy et al highlighted that colonoscopy completion rate appeared to be decreased in women with a history of hysterectomy in comparison to women without it.However, despite these maneuvers if endoscopists still find difficulty in negotiating the scope further in lumen together with increased patient discomfort, the procedure should be abandoned and the patient must get referred to a more experienced colonoscopist at a high volume center. Pre-procedure counselling with the patient explaining the above points is imperative.LK: Conceived the idea and did final editing and review of manuscript and approval.NB: Review of literature and revision of manuscriptHK: Writing of first draft of manuscript and review of literature"}
+{"text": "To examine how health system design and delivery can fail to support the needs of LGBT+ older adults.LGBT+ older adults face barriers in access to care, impacting their ability to receive person\u2010centred care in old age, which is central to the prevention and management of frailty, disability and disease.Using a conceptual framework of access to care, this commentary illustrates issues LGBT+ older adults may face in accessing health and social care services in Ireland, and provides examples of how access may be improved from the published international literature.Health policies, service design and delivery all impact on the ability of the health system to meet the needs of LGBT+ older adults across all levels and types of care.Heteronormativity and discrimination must be addressed across the whole health system to achieve the health policy goal of supporting all older adults to enjoy health and well\u2010being.We suggest nursing professionals use a systems perspective to address the multilevel issues relating to care for LGBT+ older adults. Researchers in gerontological nursing should include the experiences and outcomes of service utilization for LGBT+ older adults in their research agenda. For some LGBT+ older adults, prior experiences of discrimination or stigma within health services mean they may not view these services as inclusive spaces where they will be respected, and where their needs will be met and types of care . We conclude that addressing heteronormativity and discrimination is needed across the whole system of care, to achieve the policy goal of supporting 7Nursing professionals are well placed to address these issues given their scope of practice across the whole system of care, their involvement in policy making and commitment to delivering culturally competent care. We suggest nursing management who are charged with mentoring, training staff and service improvement recognize the importance of taking a systems perspective to improve access and care services for LGBT+ older adults. Researchers in gerontological nursing should add the experiences of service utilization for LGBT+ older adults service users to their research agenda.This commentary is based on existing published literature and did not require ethical approval."}
+{"text": "As population aging is accelerating rapidly, there is growing concern on how to best provide patient-centered care for the most vulnerable. Establishing a predictable and affordable cost structure for healthcare services is key to improving quality, accessibility, and affordability. One such effort is the \u201cfrailty\u201d adjustment model implemented by the Centers for Medicare & Medicaid Services (CMS) that adjusts payments to a Medicare managed care organization based on functional impairment of its beneficiaries. Earlier studies demonstrated added value of this frailty adjuster for prediction of Medicare expenditures independent of the diagnosis-based risk adjustment. However, we hypothesize that further improvement is possible by implementing more rigorous frailty assessment rather than relying on self-report of ADL difficulties as used for the frailty adjuster. This is supported by the consensus and clinical observations that neither multimorbidity nor disability alone is sufficient for frailty identification. This symposium consists of four talks that leverage data from three CMS-linked cohort studies to investigate the utility of assessment of the frailty phenotype for predicting healthcare utilization and costs. Talk 1 and 2 use data from the NHATS cohort to assess healthcare utilization by frailty status in the general population and the homebound subset. Talk 3 and 4 use data from the MrOS study and the SOF study to investigate the impact of frailty phenotype on healthcare costs. Taken together, their findings highlight the potential of incorporating phenotypic frailty assessment into CMS risk adjustment to improve the planning and management of care for frail older adults."}
+{"text": "To learn about the imaging characteristics of pulmonary emboli caused by metallic mercury and be aware that an underlying psychiatric condition might exist when mercury poisoning is not caused by occupational exposure. To learn about the imaging characteristics of pulmonary emboli caused by metallic mercury and be aware that an underlying psychiatric condition might exist when mercury poisoning is not caused by occupational exposure. A 25\u2010year\u2010old asymptomatic woman was referred with diffuse, high\u2010density opacities in a chest radiograph Figure\u00a0 and dissMunchausen's syndrome is a factitious disorder imposed on the self and usually difficult to identify due to deceptive misrepresentation. Patients intentionally fake or cause symptoms of an illness and/or injury in themselves, even in the absence of obvious external rewards.None declared.WS: wrote the initial draft of the manuscript. YJ: critically appraised and revised the overall content of the manuscript. Both authors: read and approved the final manuscript.Our study has been granted an exemption from the review by the Institutional Review Board of Peking Union Medical College Hospital.Written informed consent was obtained from the patient's brother for publication of this case report and any accompanying images."}
+{"text": "Health literacy assessment tools that are designed and validated specifically for East Asian older adults are limited. This session reviews the existing health literacy assessment tools and discusses possible applications in East Asian older adults. As an alternative to the population-level health literacy assessment, the general literacy measures and assessment approach in the Program for International Assessment of Adult Competencies (PIAAC) data are discussed. As a case demonstration, the PIAAC literacy measures in Japan and Korea are summarized and evaluated for the applicability in aging and health research with East Asian older adults."}
+{"text": "Clinics and Practice was launched in 2011 and it has been published over the past nine years by PAGEPress Publications [Clinics and Practice from PAGEPress and wish to ensure the reader that we will continue to serve health professionals and clinicians well. Clinics and Practice complements the MDPI portfolio of medical journals very well [Journal of Clinical Medicine [Medicina [Medical Sciences [We are delighted to take over the publication of ery well ,4, especMedicine , MedicinMedicina , and MedSciences , and strWe will regularly publish four quarterly issues from 2021.Clinics and Practice [We hope that you enjoy publishing your work in Practice !"}
+{"text": "Lassa fever outbreaks continue to be recurrent after fifty years of its identification. The true burden of the disease in Nigeria is unknown while gaps in knowledge about the infection still persist. Based on the Nigeria national Lassa fever research agenda and the World Health Organisation's roadmap initiative for accelerating research and product development which enables effective and timely emergency response to LF disease epidemics among other infectious diseases; a research pillar was added to the seven existing LF emergency operations centre response pillars in 2019. We describe lessons learnt from the integration of a research pillar into the LF national emergency response.Emerging and re-emerging infectious diseases are becoming more frequent and developing countries are especially at increased risk. A recurring infectious disease outbreak in Nigeria has been that of Lassa fever (LF), a disease that is endemic in Nigeria and other West African countries. Nigeria, between 1 Mastomys natalensis is distributed across this region [Emerging and re-emerging infectious diseases are becoming more frequent and advancing faster than ever before, predominantly in developing countries of Africa, South America and South Asia . Multipls region .st January and 27th October 2019, 743 confirmed cases of LF and 157 deaths in confirmed cases were reported [In West Africa, LF is estimated to affect 100,000-500,000 persons annually; with Nigeria bearing the most burden recordinThe World Health Organization (WHO) developed a roadmap initiative for accelerating research and product development to enable effective and timely emergency response to LF disease epidemics among other infectious diseases . One of Overview of the national emergency response: a cardinal point in the coordination of any emergency response to a public health event is the activation of an emergency operations or coordinating centre. In 2019, the national EOC for LF in Nigeria was activated on the 22nd of January, following the declaration of the LF outbreak as an emergency by the NCDC due to high case numbers [ numbers . The EOCActivities of the research pillar: the NCDC LF research pillar commenced its activities by identifying and mapping ongoing research by various stakeholders across the country to avoid duplication of efforts. A 3-day capacity building workshop on the development of research proposals was also held for pillar members of the Lassa EOC. The research pillar participated in all meetings of the LF national EOC while also working closely with all the other response pillars to identify gaps from their operations which could be addressed by research. Reviewing daily and weekly reports from these other pillars of the EOC, gaps in knowledge, methods, response activities, assessments and challenges were identified as potential questions that could be addressed by research. Before the outbreak, WHO had supported the NCDC to prioritise its research areas with respect to LF and developed a research agenda. This was also used as a benchmark in the identification of potential research areas. During the outbreak, however, potential operational research that could immediately help to improve response were identified. These potential research areas spanned across case management, infection prevention and control, surveillance, contact tracing, laboratory, risk communication, environmental and vector control activities. The research pillar worked with the other response pillars concerned to develop concept notes around these gaps which would help inform their response subsequently. Those concept notes were prioritized based on the perceived impact on future prevention and response effects and a few of these concept notes were developed into research proposals for implementation by the rapid response teams (RRT) deployed to the field.Lessons learnt: outbreak response activities help to highlight gaps that can be addressed by research which otherwise may be either overlooked or not have been noticed. An example is the actual infection prevention and control practice of healthcare workers during outbreak periods as opposed to during routine care at other seasons. Also having a research pillar helped provide needed guidance on response research activities at national and subnational levels leading to streamlined research activities thereby avoiding duplication of efforts and optimising the available resources. An example was in the utilisation of the same checklist and methodology for household assessment by the RRT across various states and local government areas they were deployed to. Another lesson learnt is the need to have supportive teams with enough research methodology capacity to rapidly develop scientifically sound proposals based on identified gaps during an epidemic response. This was a challenge for the team as there were limited members in the research pillar and the other response pillars were more focused on outbreak response activities rather than on development of proposals. Also studies will need to be conducted in such a way as not to disrupt the much needed response being provided by the RRT and other members of the various response pillars. For implementation, the RRT were saddled with implementation of the operational research in addition to response activities and this led to non-completion of data collection by many due to distraction by response activities. We also learnt that there is need to have pre-dedicated funding such as a certain percentage of outbreak operational funds to support research prior to predictable outbreaks. Some of the studies could not be implemented due to paucity of funds for research during the period and this limitation was also reason for the use of RRT to collect data; obtaining the support of ethics committees for expedited approval is crucial to the implementation of research during outbreaks as it has been noted that epidemics tend to reveal vital knowledge gaps that could neither have been predicted nor prioritized for study before an outbreak occurs [k occurs . Prior tRecommendations: gaps identified during an outbreak should continue to generate research questions for high-priority study as both an integral component of the immediate response and if not possible immediately, could be for longer-term follow-up study. This hopefully would help in both understanding of the disease process and inform best practice for prevention and response activities [tivities ; countrytivities . Howevertivities ; the pertivities ; continuLessons learnt from the incorporation of a research pillar in the 2019 LF disease outbreak response provided an opportunity for both improvement and planning for research. This would inform future approaches to research-related response activities especially for predictable diseases like LF. This will ensure that we learn as much as we can from these significant public health events. The importance of utilizing research during an outbreak to evaluate and or improve our response and institute preventive programmes cannot be over emphasised; and this would go a long way in addressing knowledge gaps to improve prevention and control of outbreaks of infectious diseases such as LF."}
+{"text": "The development of RAPN enabled wider indication of nephron sparing surgery. For the bilateral kidney tumors, RAPN should be considered first to maintain the kidney function and minimum invasiveness. In performing RAPN for the both kidneys suspecting different histology, we must discuss about: What is the suspected histology based on the radiological examination? Is preoperative biopsy necessary? Do we operate sequentially or simultaneously? What is the appropriate interval? Which side should be operated first? Are there any options such as ablation therapy or active surveillance? There may be no concrete answer for these questions, however, we have to present many alternatives to the patients and inform them of the merits and demerits of each strategies. It is very difficult and time consuming effort but absolutely necessary. To treat the renal cell tumors we must have ability to perform many choices of procedures but it is impossible to experience every rare situation like this case. This case report will be very useful in the decision making in the similar circumstances.The author declares no conflict of interest."}
+{"text": "Although austerity was particularly strong in the aftermath of the economic crisis of 2008 and its consequences in the euro area, Italian fiscal policies have been characterised by tough consolidation periods ever since the 1990s."}
+{"text": "We examined the frequency of participation in cognitive and social type of leisure activities in association with dementia risk over 15 years of follow-up in 12,280 participants aged 50+ from the English Longitudinal Study of Ageing. Cox proportional hazards regression models were used to estimate the hazard of dementia in relation to the cognitive and social type of leisure activities as well as their interactions with sex and marital status. Medium and higher levels of engagement in cognitive leisure activities were associated with a lower risk of dementia. An analysis of the social type of leisure activities showed a similar pattern with protection for higher levels of engagement in a model adjusted for sex and marital status but further explained by wealth. This study shows a reduced risk of dementia for individuals with higher levels of engagement in cognitively stimulating activities, that may preserve cognitive reserve until later in life."}
+{"text": "To the Editor,We read with great attention the remarkable research letter by Yang and colleagues studying the utility of optic nerve sheath diameter (ONSD) in predicting sepsis-associated encephalopathy (SAE) in critically ill patients . HoweverSystemic hypertension itself could be an independent risk factor for increase in ONSD and has been studied in the past . While pWe wish to congratulate the authors for this remarkable work in the critical care setting to risk stratify patients with SAE with the help of ONSD. However, providing further details about the clinical status of the patients in this setting (such as blood pressure readings) and details of past medical background (steroid use and history of endocrinopathies) will provide readers of this journal with much needed clarity and further credibility to this outstanding work."}
+{"text": "Communication and interactions are an integral part of care in long-term care settings. Resident variables, such as race and gender, shape communication and interaction between staff and residents. The Quality of Interactions Schedule (QuIS) was developed to measure the quality of verbal and nonverbal interactions among nursing staff and older adults initially for those in acute care and later used as well in a variety of long term care settings. A quantified measurement of the quality of interactions between residents and staff was created to quantify the QuIS. The purpose of this study was to describe the gender and racial differences in scored quality of interactions. Data for the present study was based on baseline data from the Evidence Integration Triangle for Behavioral and Psychological Symptoms of Dementia (EIT-4-BPSD) implementation study. A total of 535 residents from 55 settings were included in the analyses. An analysis of covariance was conducted to determine a difference in QuIS scores between males and females while controlling for age. The second model tested for differences in QuIS scores between blacks and whites while controlling for age and gender. There was not a statistically significant difference in QuIS scores between male and female residents. There was a significant difference in QuIS scores between those who were black versus white, such that those who were black received more positive interactions from staff than those who were white. Future work should focus on a deeper examination of resident factors and staff factors that may influence these interactions."}
+{"text": "Background: International policy is increasingly committed to placing interdisciplinary team-working at the centre of health and social care integration across the lifespan. The National Clinical Programme for Older People in Ireland has a critical role in the design and implementation of the National Older Person\u2019s Service Model, which aims to shift the delivery of care away from acute hospitals towards community-based care. Interdisciplinary Community Specialist Teams for older persons (CST-OPs) play an important role in this service model. To support the development of competencies for interprofessional collaboration and an interdisciplinary team-based approach to care integration, a culture shift will be required within care delivery.Design:This study builds upon a collaborative partnership project which co-designed a framework describing core competencies for interprofessional collaboration in CST-OPs. A realist-informed process evaluation of the framework will be undertaken as the competencies described in the framework are being fostered in newly developed CST-OPs under the national scale-up of the service model. Realist evaluation approaches reveal what worked, why it worked (or did not), for whom and under what circumstances. Three iterative and integrated work packages are proposed which combine multiple methods of data collection, analysis and synthesis. Prospective data collection will be undertaken within four CST-OPs, including qualitative exploration of the care experiences of older people and family carers.Discussion: The realist explanatory theory will provide an understanding of how interprofessional collaboration can be fostered and sustained in various contexts of care integration for older people. It will underpin curriculum development for team-based education and training of health and social care professionals, a key priority area in the national Irish health strategy. It will provide healthcare leaders with knowledge of the resources and supports required to harness the benefits of interprofessional collaboration and to realise the goals of integrated care for older people. International health system policy and operational models have increasingly identified interdisciplinary teamwork as critical for health and social care integration across clinical pathways . InternaInterdisciplinary team working is a core feature of common international models of older people\u2019s health and social care and is considered critical for comprehensive geriatric assessment and care planning . The EurThe ECLECTIC project sought to address this gap by co-designing a competency framework that provides practical guidance for building competencies for interprofessional collaboration in the context of older people\u2019s integrated care . These CThe ECLECTIC framework was co-designed with healthcare professionals, from across thirteen disciplines involved integrating care for older people in community care settings. Five Public and Patient Representatives (PPRs) also joined the co-design team and were critical in the development and validation of the framework. Furthermore, in-depth qualitative research was undertaken with two interdisciplinary community-based teams integrating care for older people. The qualitative analysis was used to contextualise the core competencies described in the framework and NCPOP that will enable team members to develop competencies for interprofessional collaboration. These resources will provide specific learning activities and materials aligned to relevant contexts-mechanism-outcome configurations and will be made available to all the CST-OPs supported by NCPOP.4.Contribute to the theoretical understanding of what works (mechanisms) in building proficiency for interprofessional collaboration and under what circumstances (contexts) through the development of a middle-range theory providing a detailed explanation of the dynamic relationship between varying context-mechanism-outcome configurations.Ethical review and approval will be sought from the relevant governance committee once the case-study sites are identified. Furthermore, ethical exemption will be sought from the UCD Life Sciences Ethics Committee.The study adopts a realist evaluation approach which is an interpretive theory-driven approach to evidence synthesis which uses multiple sources of evidence including published peer-reviewed studies, policy documents and grey literature. This evidence is combined with stakeholder theories and explanations of how interventions might work will be included.3.Public and patient representatives (PPRs) of older people and family carers (our PPI advisory group).i.e., patterns of generative causation). These IPTs will support the evaluation of the implementation of the ECLECTIC framework within CST-OPs operating under the NCPOP (Work Package Two). The realist review will be guided by five steps adapted byThis review will focus on generating initial programme theories (IPTs) for the contexts and the mechanisms that are associated with the outcomes of interventions targeting interprofessional collaboration Finally, four validation workshops will be held with key stakeholders to review, refine and prioritise the IPTs. This will result in a series of evidence based IPTs which are context specific theories in the form of statements which explain how and why teams build interprofessional collaboration and what the associated outcomes are.versus more established teams). Furthermore, case study site selection will be guided by the IPTs that were prioritised at the end of work package one for testing.The second work package will involve multiple methods to explore, evaluate and test the IPTs . ProspecDue to the given complexity of the system in which the ECLECTIC framework is being implemented, each of the four teams will likely be at different stages in their development proficiency for interprofessional collaboration. This will provide additional nuance and understanding of the role of context in the realist evaluation. Two of the nominated teams will be identified by the research team in collaboration with the project advisors for the collection of extensive process data and a more in-depth realist evaluation. This evaluation will primarily focus on testing and refining the emerging programme theory. The other two teams will provide prospective qualitative data that can be used to contextualise and support the emerging theory.Data Collection: Four case study sitesThe following prospective data will be collected from the four nominated CST-OPs: Structured interviews with team membersQualitative structured interviews will be conducted with members of each of the four nominated CST-OPs (N=24\u201332) at baseline (T1), six months (T2) and at 12 months (T3). The participants will be purposely selected to ensure representation from each discipline represented on the team as well as a support member such as operational manager (n=6\u20138 per team). We aim to interview the same team members at each time-point to enable prospective exploration of changes over time. The interviews will be guided by a structured format derived from the IPTs. The participants will review the IPTs and explore each of the configuration elements from their own experience of interdisciplinary and interprofessional working. The participants will determine whether the interviews will be conducted either face-to-face or remotely using video conferencing technology as per their requirements and preferences.Semi-structured interviews with older people and family carersProspective qualitative interviews will be conducted with older people and/or their nominated family carer who are receiving integrated care from one of the four nominated care teams. Interviews will be conducted in two waves: following initial referral/assessment and following discharge from the CST-OP. We will aim to prospectively interview 16\u201320 older people and/or family carers across four team sites at each time point (n=4\u20135 per team). The focus of these interviews will be to explore the participants\u2019 care experiences and needs during their time with the CST-OP and to identify how needs change over time. The IPTs will inform the interview guide and will prompt discussion of the outcomes identified in the configuration statements from the perspective of older people and/or family carers. This discussion may also identify potential causal mechanisms for these outcomes. These interviews will be conducted face-to-face unless otherwise requested by the participant themselves.Quantitative outcome measurementThe quantitative outcomes associated with interdisciplinary collaboration identified from the systematic scoping review in work package one will be measured at three timepoints (baseline (T1), 6 months (T2), 12 months (T3) as above). Each of the CST team members (N=52\u201355) will complete an online questionnaire measuring outcomes that have been adopted from the mechanisms for evaluating team competency in interprofessional collaboration described in the co-designed ECLECTIC competency framework . Listed Other measures that may emerge from the evidence scoping and realist synthesis include attitude towards interdisciplinary working, knowledge of team roles, knowledge of each competency, trust, conflict, collective leadership/decision-making and sense of work engagement such as feelings of vigour, dedication and absorption. The measurements will be conducted online through individual scaled questionnaires. Previously validated and robust instruments will be used to measure outcomes, where available.Data collection: Two case study sitesIn collaboration with the project advisory committee, two of the nominated CST-OPs will be identified for more extensive data collection and realist evaluation. The following additional sources of data will be collected from these two teams. This will ensure the generation of rich and detailed explanatory programme theory for two case study sites. The data collected from the other sites will be used to support and refine the two case study programme theories.Observations of team meetingsStructured observations of a team meeting will occur at three timepoints (baseline (T1), 6 months (T2), 12 months (T3) as above). The focus of these team observations will be to identify the contextual conditions and related mechanisms which lead to outcomes associated with interprofessional collaboration. A bespoke observation template will be developed to support data collection to promote consistency in data capture across observations. This will be modelled on a tool developed by a member of the research team with colleagues (McAuliffe) for observation and measurement of psychological safety in healthcare teams as well as standard operating procedures for interdisciplinary team communication and referral processes. The teams will be asked to record adverse events and indicators of care quality including episodes of missed care, duplication of care, declined care . These will be recorded by the team in anonymised format and will be collected for the purposes of tracking frequency of adverse events over the observation time frame (12 months).Data analysisNVIVO Pro 12 Software .Qualtrics XM will be used for the collection of quantitative data and data will be analysed using IBMSPSS Statistics 27. The analysis will be undertaken on an ongoing basis whereby each wave of data collection will iteratively inform the next wave of data collection in each case study site. Data analysis will be guided byQualitative data analysis of the interview transcripts, the documents and the team observational notes will be conducted usingThe focus of data analysis in this second work package will be to observe outcome patterns to inductively identify C-M-O configurations and to deductively test IPTs within each of the two case study sites identified for in-depth realist evaluation. The outcome from this work package will be a refined programme theory for each of the two case study sites nominated for in-depth realist evaluation. The additional case study data from the other two sites will be used to support or refine the theories. At the end of the evaluation period (12 months) data will be reported to each of the case study sites. This will ensure that the knowledge generated from the evaluation can inform the study sites and be used to improve their interprofessional collaboration.The third and final work package will involve the synthesis and sharing of the refined programme theories which emerged from the second work package across case study sites to develop a middle range theory. This is a higher order theory involving a synthesis of more granular programme theories to provide hypotheses about how different types of interventions might work in different types of contexts in realising overall programme outcomes . The metMiddle range theory developmentFindings from each case study will be collated alongside all their support evidence. The first step of analysis will involve combining the programme theories and C-M-O configurations from both cases. Commonalities within the combined PTs and C-M-O configurations will be identified and grouped into a framework. The next step of analysis will be to identify predictable patterns occurring across the data. The additional qualitative data extracted from all four case study sites will be deployed at this stage. Data from all four sites will be reviewed to identify explanatory information to facilitate the synthesis of patterns of causation. This will support and refine the theories that had arisen from each of the two case studies and help manage any discrepancies between the case study findings.In line with realist methodology, the focus of this analysis will be to develop an understanding of the generative causality between different contexts and the mechanisms which are linked to specific outcomes . The resThree final validation workshops will be held with the four key stakeholder groups . The purpose of these workshops will be to refine and validate the theories and to generate discussion on how this theory can support the workforce capacity development with specific reference to teaching and learning approaches.Translation of the middle range theory into operational guidance and curriculum developmentThe realist evaluation proposed for this application will identify guiding principles that can be applied in practice to support effective interprofessional collaboration in the delivery of quality integrated care for older people in the community setting. Through dissemination, it will offer practical guidance and insights for policymakers and health and social care providers as well as organisational leaders, and innovators to support successful implementation programmes across the health systems nationally and internationally.The proposed project will impact the national healthcare workforce planning and development and through the dissemination of outputs will influence international conversations concerning workforce capacity in health and social care. The implementation evaluation of the ECLECTIC framework will directly influence the development of professional standards and guidelines for clinical design to support the implementation of the national older person\u2019s service model. This will inform the recruitment strategy for the programme managers as well as continuing professional development for the integrated care teams established through the programme.We will work with the NCPOP to scale up the findings across the clinical programme for older people as well as translate these findings to other programmes which have been restructured to include a focus on interdisciplinary teams.The next element of work package three will involve the translation of the middle range programme theory into an interdisciplinary curriculum for the education and training of health and social care professionals. This will involve revision of the ECLECTIC framework to incluA cross-disciplinary and institutional project team will be convened with representation from core health professional programmes as well as regulatory bodies . The team will be supported by collaborators from the Australian Institute for Health Innovation at Macquarie University who will enable knowledge translation for broader health system impact. The team will also invite public and patient representatives from our PPI advisory group to become members. The aim of this project team is to co-design a curriculum framework which will map the knowledge and skills required for interprofessional collaboration. This framework will enhance interdisciplinary teaching, learning and assessment of interprofessional collaborative practice across health and social care professional curricula. It will be a resource for educators across health professional programmes as well as continuing professional development. It will support incremental learning of the appropriate knowledge and skills as well as provide recommendations for specific learning activities to scaffold competency among students. The middle range theory will be embedded into the framework ensuring that the curriculum is context specific and aligned to the mechanisms associated with measurable outcomes for interprofessional collaborative practice. This framework will be used to foster interdisciplinarity in the health and social care professional curricula and will form the basis for structured elective module development at both undergraduate and taught graduate levels.Members of the research team are academic champions of PPI as part of the UCD PPI Ignite program. The team have long established experience enabling patient, public and practitioner involvement in health system change such as co-designing frailty pathways in acute care settings Older Persons Office, the HSE and the NCPOP will play a critical role in supporting the translation of the findings across the national integrated care programmes generally. The inclusion of the CST-OP clinical leads is critical for the translation of the findings into clinical design and practice as well as the operational guidelines and procedures within the National Clinical Programme for Older People. Associate Professor Harrison, a collaborator for this project, leads the healthcare engagement and workplace behaviour stream at the Australian Institute of Health Innovation, Macquarie University. The institute is focused on related areas of health services research, health informatics and health systems and safety. Harrison will work with co-applicant N\u00ed Sh\u00e9 who has an honorary appointment at the institute in enabling knowledge translation of the work in Australia.The research team will be in the UCD Centre for Interdisciplinary, Research, Education and Innovation (UCD IRIS) and will harness the knowledge and expertise of the centre in translating study findings into broader health systems research and education. This will ensure that the knowledge generated from this study will have immediate relevance for future workforce capacity development and ongoing professional education. This translation into ongoing professional development will also be facilitated through the creation of learning resources for integrated care teams that will be developed in collaboration with the HSE and NCPOP as a result of this study.The findings from this study will also be disseminated to the international research community through publications in open-access peer-reviewed journals as well as presentations in national and international conferences. UCD Library, as a member of the IReL consortium of Irish academic libraries, has entered into a few Open Access Publishing agreements with key scholarly publishers. The budget request for this study will also provide for publication of two research papers in international open access peer-reviewed journals. Finally, this study protocol and a final study summary will be submitted for publication in HRB Open Research.The results of the realist review will be reported according to the Realist and Meta-narrative Evidence Synthesis: Evolving Standards (RAMESES) quality and publication standards revolved around person-centered values but this was not reflected in the figure. Third, when talking about IPC team members, it is relevant to provide a description of the health professionals involved and their roles in the team considering the healthcare landscape in Ireland.Is the study design appropriate for the research question?YesIs the rationale for, and objectives of, the study clearly described?YesAre sufficient details of the methods provided to allow replication by others?YesAre the datasets clearly presented in a useable and accessible format?Not applicableReviewer Expertise:Ageing, inteprofessional education and collaborative practice, quantitative research methodsI confirm that I have read this submission and believe that I have an appropriate level of expertise to confirm that it is of an acceptable scientific standard, however I have significant reservations, as outlined above. This is an excellently written paper outlining an extensive process to improve care of older people. Starting out by conducting a realist review will situate the subsequent study of 4 cases quite well. I appreciate the conducting of interviews and observations of team meetings initially, in six months and in a year as an important way to see differences in how teams develop and demonstrate competencies. Developing the mid-range theory to support how the competencies are applied to older adult care over different contexts will support the end goal of developing curriculum for interprofessional education. I look forward to further publications as this process unfoldsIs the study design appropriate for the research question?YesIs the rationale for, and objectives of, the study clearly described?YesAre sufficient details of the methods provided to allow replication by others?YesAre the datasets clearly presented in a useable and accessible format?YesReviewer Expertise:Nursing care of older adults, nursing education and interprofession practiceI confirm that I have read this submission and believe that I have an appropriate level of expertise to confirm that it is of an acceptable scientific standard. This paper describes the methodology for a realist review to evaluate the implementation of the ECLECTIC framework for the development of competencies in interdisciplinary community-based teams for older people. The goals are clearly described with an appropriate methodology clearly described and suitable to answer the research question. There is a structured plan of work packages that is realistic and deliverable. The methodology clearly describes how different sources of information will be identified and used to inform the research.\u00a0 In particular, the explanation of the chosen methodology and rational for this choice is clearly presented. The plan for ethics review is appropriate. The plan for dissemination of results is also appropriate and hopes to influence policy meaningfully as well as to share learning from the research.Is the study design appropriate for the research question?YesIs the rationale for, and objectives of, the study clearly described?YesAre sufficient details of the methods provided to allow replication by others?YesAre the datasets clearly presented in a useable and accessible format?Not applicableReviewer Expertise:Geriatric Emergency Medicine, Medical EducationI confirm that I have read this submission and believe that I have an appropriate level of expertise to confirm that it is of an acceptable scientific standard."}
+{"text": "During the last few decades, the field of rehabilitation has experienced substantial development, growth and acceptance. Rehabilitation addresses the impact of a health condition on a person\u2019s everyday life by optimising their functioning and reducing their experience of disability. Rehabilitation expands the focus of health beyond preventative and curative care to ensure people with a health condition can remain as independent as possible and participate in education, work and meaningful life roles .We also now have a better understanding of the growing global need, demand and recognition of rehabilitation around the world. For example, it has been estimated that 2.41 billion people in the world could benefit from rehabilitation services. This means that at least one in every three persons in the world needs rehabilitation at some point during the course of their disease or injury seeks to understand and improve how societies organise themselves in achieving collective health goals and how different actors interact in the policy and implementation processes to contribute to policy outcomes invite researchers in the field of HPSR for rehabilitation to submit their manuscripts to our journals for peer review and possible publication, (2) create a special journal section, series or designation dedicated to HPSR for rehabilitation, (3) appoint editorial board members with expertise in HPSR for rehabilitation and (4) disseminate research articles among funding agencies and policymakers. These actions by our academic journals will help the WRA achieve its goal of strengthening rehabilitation services for all."}
+{"text": "It is known that the restrictions and clinical changes experienced during the pandemic period have negative effects on the care and treatment of psychiatric patients. However, insights on how the pandemic environment and the approaches of healthcare professionals serving during the pandemic affect the care and treatment of patients at risk of suicide are insufficient.This ethnographic study aimed to identify the approaches of psychiatric nurses in managing suicide risk during the pandemic period in relation with their work environment.This ethnographic research design used a sample of 13 psychiatric nurses in a psychiatric clinic in Ankara. Data were collected with in-depth interviews, participant observations and observant participations. Data were obtained from a total of 612 hours of observation and 13 planned nurse interviews. Data were analyzed using qualitative thematic analysis.The emergent main theme from data analysis is explained under the title of \u201cThe risk of loss of inauthenticity in suicide risk management\u201d. \u201cRisk of loss of inauthenticity\u201d means the fact that the individual suicidal risk factors and differences of the patients cannot be perceived/assessed by the nurses.Supposing all patients having the same suicide risk level by psychiatric nurses caused insensitivity to risky patients in the care process. Nurses\u2019 inadequate approach to patient personality disorder and limited social interactions due to the pandemic atmosphere made it difficult for nurses to have knowledge and understanding of how patients cope with suicidal ideations. These findings show the importance of the use of valid and reliable scales with risk formulations and the significance of triage in crisis periods such as current pandemic. In addition, creating available online consultancy service alternatives may have an important role in the management of suicide risk for patients who are disturbed by long-term hospitalization. Also these findings may contribute to the creation of qualified care and treatment guidelines on suicide risk management for crisis periods.None Declared"}
+{"text": "Balancing career and family is a hard job for everyone. Academic life with multiple and conflicting demands on our time necessitates prioritizing among responsibilities. This resonates especially for a woman academic who takes care of a baby. The speaker will address specific challenges of mothers who are in both academia and clinical practice, give reflections and elaborate on patterns and ways of dealing with this challenge. The talk is hoped to promote awareness and discussion on addressing the inner and outer sources and planning one\u2019s own way on a career path.None Declared"}
+{"text": "As one of main aim of broad mental health (MH) reform in Bosnia and Herzegovina (BH), quality of services and continuous improvement are priorities. In last decade network of community services-community mental health centers (CMHC) covered all the parts of the country and is connected with secondary and tertiary medical institutions as well as with broad network of centers for social welfare and growing number of user organizations.As a novel practice that will be involved in standards of quality for all MH services is joint planning of hospital discharge people with mental illnesses, supported by legislative and connected with other positive results of mental health reform in BHReview of implementation of results of MH reform in BH with focus on joint planning hospital discharge.In BH in last decade has been established broad spectrum of services that improved quality of care through multidisciplinary collaboration between sectors. Important role has given to users\u2019 organization. Quality standards are defined trough certification and accreditation. New services were developed or renewed and implemented . Entities\u2019 policies and strategies involved new services and improved MH legislative following the course of more involvement of patients as well as their families, representatives or persons of their trust in decision making and planning of multidisciplinary treatments in the CMHCs. Joint Planning of discharge from the hospital fund as important step in further improvement of quality of care for people with MH disorders, especially for those with severe mental illnesses.Last decade in BH gave important results in the better quality of MH care. Further plans will be focused on implementation of new MH user-oriented services.None Declared"}
+{"text": "Intraventricular hematoma includes massive clots spreading in all four ventricles and partial clots obstructing cerebrospinal fluid circulation in the foramen of Monro and aqueduct and foramen of Magendie. The authors have described in detail the characteristics of hematocephalus; however, its basic mechanism and clinical management have not been fully discussed, as indicated by the authors. I suppose that many neurosurgeons agree with the authors\u2019 opinion that simple intraventricular drainage is not always successful in the management of hematocephalus associated with massive intraventricular hematoma. Difficulties in management are as follows: the bleeding point is often unknown based on pre-operative imaging; emergent cases cannot allow conventional angiographical examination; even large drainage catheters can sometimes clog with clots of hematoma; intracatheter administration of fibrinolytic agents can cause rebleeding; the selection of neuroendoscopies is not simple; flexible- or rigid-type surgical devices for flexible neuroendoscopy for the removal of hematoma have not been fully developed; and hematocephalus includes variable causes of hemorrhage, which has complex pathological states. Moreover, clinical states often need emergent management, which can be challenging. The paper is of considerable interest to clinicians. The definition of hematocephalus is based on the report by Benes et al (2). The recent categorization of hematocephalus can provide new perspectives on pathological states and therapeutic strategies. The present paper is believed to contribute to the accurate categorization of the knowledge on hydrocephalus caused by intraventricular hematoma and development of new approaches to clinical management.Hematocephalus is a noncommunicating hydrocephalus caused by intraventricular hematoma, as described by Martin et al None"}
+{"text": "Besides selecting and developing (sub-) targets, evaluating target achievement is an important aspect of the concept. This article discusses the methodological challenges for impact evaluation in addition to providing approaches to solve these issues.Experiences with the evaluation concept developed by the German forum The collaboration is based on the principle of consensus. The members jointly develop national health targets, recommend measures to achieve the set goals and present recommendations for the practical implementation of measures. The forum ensures the results are made public and encourages the decentralised implementation of national health targets by stakeholders. The forum regularly evaluates and optimises target achievement rates and processes . GermanyExperiences with the evaluation concept, which was developed and implemented by academic experts, and the results it provides can be of use for prevention reporting. It is built around the following four areas:I. Target selection: Members of the health target forum name relevant fields of interest that are compiled to be assessed on the basis of a scientific catalogue of criteria . Based oII. Workgroups are established to elaborate the targets and sub-targets, guided by the following key points:\u25baTargets are directed at the population and the health and social systems and aim to respect the principles of equal opportunity \u25baThey are based on the results of the scientific criteria analysis \u25baMeasures recommended to achieve targets should be evidence-based, their implementation feasible and impact measurable\u25baCriteria to quantify targets are also availableIII. Monitoring (sub-) target achievement will be based on the following questions: Has the (sub-) target been achieved? Which measures for target achievement have been implemented and how have they contributed to the achievement of targets? What conclusions do the results allow regarding the need to update targets?The complexity of measures provides methodological challenges at the different intervention levels which differ in extent and form. A broad range of stakeholders help achieve targets in diverse contexts . Information is often scarce, in particular, concerning the effects of individual measures, the timespan during which such effects are visible and the mechanisms behind such effects, as well as the interplay between different measures in the achievement of targets.Possible steps to limit these methodological challenges include:\u25baSelection of sub-targets and initial measures (priority measures) for evaluation\u25baFocus on the national level (structures and population) or on larger units \u25baDevelopment of measurable indicators to monitor the implementation and effectiveness of initial measures at different levels\u25baUse of established sources of data\u25baDetection of gaps in the data \u25baIdentification of best practice models and relevant individual measures \u25baTheoretically grounded assumptions on the mechanisms that lead measures to be effectiveIV. Overall evaluation: a survey of the participating stakeholders was undertaken in 2013 that enquired about their experiences with and expectations of the process we had installed to establish targets. The survey focused on the strategies and model projects that members had developed to initiate and implement the established health targets and on recommendations on how to enhance the additional value provided by the forum. 49 out of the 69 surveyed stakeholders had defined fields of action for their organisation that were related to national health targets. 54 stakeholders could provide at least one example of a measure to implement these health targets [gesundheitsziele.de suggests that the experiences and results of the process to establish targets will be used by prevention reporting and that the evaluation committee and its expert academic members will thereby play an advisory role. Moreover, the results, methods and data that prevention reporting produces should be made available to the health target forum. We believe we should pursue the approach of impact evaluation and promote the methodological discourse on the evaluation of complex interventions as it is currently being discussed in public health research.The forum"}
+{"text": "In this issue of this journal, van Boxtel and colleagues reportedLabelling of heart valve substitutes has been confusing since the introduction of the first man-made artificial heart valve, the Starr\u2013Edwards ball valve. That is the reason manufacturers provide them with sizers to measure the annulus where they are to be implanted. This labelling problem is not only with supra-annular bioprosthetic heart valves used for aortic valve replacement but also with mechanical heart valves that are implanted in all positions in the heart as well as with annuloplasty devices used for heart valve repair. This issue is so important that the 3 major European and American cardio-thoracic surgical societies endorsed a document prepared by a panel of experts on heart valve substitute sizing .The ideal prosthetic heart valve substitute should offer minimal impedance to blood flow and this can often be attained by knowing the estimated effective orifice area of each valve type and size and matching to the patient\u2019s body surface area. The initial problem is not the IOD but rather the mislabelling by the various manufacturers and the great variability in sizes for any given size and the effective orifice areas , 4. For The suggestions proposed by van Boxtel and Mariani should b"}
+{"text": "After this article was published, similarities were noted between this article and submIn response to queries about these concerns, the first author provided the underlying data in The authors commented on aspects of how data were collected and analyzed for this study, but overall their responses did not fully resolve the concerns.PLOS ONE Editors issue this Expression of Concern to notify readers of the unresolved concerns discussed above, and to provide the data received from the authors.The S1 File(ZIP)Click here for additional data file."}
+{"text": "CPT: Pharmacometrics and Systems Pharmacology showcases recent modeling and simulation examples to develop and assess complex generic drug products, with scientific achievements that are germane to new drug development.Approximately 90% of prescriptions dispensed in the United States are generic drugs.The GDUFA was enacted by Congress in 2012 as a partnership between the generic drug industry and the FDA to bring cost\u2010saving medicines to patients faster. Under the GDUFA, the FDA assesses generic industry user fees to improve diverse aspects of regulatory review and approval of generic drug applications. Across two re\u2010authorizations, the GDUFA has enabled expanded research and innovation for complex generic drugs. These products are the generic version of a drug containing complex active ingredients, formulations, routes of delivery, dosage forms, and/or drug\u2010device combinations and for which early interactions with the FDA may be beneficial to address scientific challenges to avoid delays in approval.Central to the success of the initiative is the burgeoning integration and adoption of model\u2010integrated evidence (MIE) by generic drug developers and the FDA. MIE integrates evidence from empirical studies with computational models, extending the continuum of knowledge acquired through model\u2010informed drug development (MIDD) for a new drug application (NDA) with emerging post\u2010NDA knowledge.The FDA has pioneered advancements in QMM for complex generics to offer developers MIE\u2010driven frameworks to establish BE. The widening impact of QMM and MIE to demonstrate BE and characterize drug delivery for complex generics is spotlighted extensively in this mini\u2010themed issue. In 2021, workshops led by the FDA and co\u2010sponsored by the Center for Research on Complex Generics (CRCG) showcased advanced applications of mechanistic modeling and simulation platforms for determining BE and their utility in addressing complex generic drug development challenges. An overview of the learnings from the locally acting and oral generic drug product workshops are presented by Babiskin et al.Under the GDUFA III (2023 to 2027), utilizing QMM for complex generics to establish BE in place of clinical end point BE studies has the potential to lower development costs and accelerate access to generic drugs. A recent rise in MIE alternative BE approaches in pre\u2010ANDA and ANDA interactions between the generic drug industry and the FDA is signaling an industry shift from MIE development to implementation; Yoon et al.As MIDD and MBBE become central tenants to innovator and generic product development, there are opportunities to hybridize learnings to advance QMM in both arenas. The MMF may find value across innovator drug development to accelerate new drug approvals as part of the MIE continuum. Curation of standards for data generation, dataset and input parameter assessment, modeling analysis and validation, and reporting to ensure consistency and harmonization across global development and regulatory decision making are pertinent to both new and generic drug development so that QMM approaches are not underutilized. The International Conference on Harmonization (ICH) M15 Concept Paper for new drug approvals provides a foundation to expand these best practices to both innovator and generic products."}
+{"text": "The corrected list of affiliations is as shown above.The authors regret that the email address for Muhammad Imran: imraniub86@gmail.com, was incorrectly listed under affiliation The Royal Society of Chemistry apologises for these errors and any consequent inconvenience to authors and readers."}
+{"text": "Some evidence converges to consider that suicidal behaviour could be a separate diagnosis and emphasizes the relevance to identify specific biomarkers. Identifying the neural substrates of suicide attempt is key to understanding the etiology of suicide and might be helpful in reducing suicide rates among psychiatric patients by promoting the development of novel therapeutic strategies based on behavioral neuroscience and brain stimulation. Neuroimaging studies have reported structural and functional brain abnormalities located in the prefrontal cortex, insula and striatal regions as well as in the connections between these brain areas. Based on task related and resting state functional MRI studies, we will discuss original data showing the role of the ventral prefrontal cortex in suicide vulnerability.None Declared"}
+{"text": "Climate change and the need to reduce global carbon emissions drastically in upcoming years pose a challenge to physical activity (PA) promotion. Not only is PA more difficult in heat and people need to adapt, but also many physical activities come with a comparable high carbon footprint. While the field of PA promotion has so far utilized the health-enhancing physical activity (HEPA) concept to define and promote PA, this concept might need to be amended to account for the environmental impacts of PA. The aim of the presentation is to critically analyze the interconnections between PA and planetary health and suggest potential steps towards a concept of sustainable HEPA."}
+{"text": "In the published article, there was an error in the Ethics statement. The registries' institutional review boards of Kurashiki Hospital and St. Luke's Hospital were listed, not the institutional review board to which the first author belongs. \u201cThe protocols for the studies were approved by the Ethics Committees of Kurashiki Central Hospital and St. Luke's International Hospital . Written informed consent for participation was not required for these studies in accordance with the institutional requirements.\u201d The correct Ethics statement appears below.\u201cThe protocols for the studies were approved by the Ethics Committees of Tokyo Bay Urayasu Ichikawa Medical Center . Written informed consent for participation was not required for these studies in accordance with the institutional requirements.\u201dThe authors apologize for this error and state that this does not change the scientific conclusions of the article in any way. The original article has been updated."}
+{"text": "In 2013 the Berlin Health Conference implemented intervention reporting for the first time within a kindergarten setting. Results from the survey of LGK Berlin members on current measures in kindergartens in Berlin that are related to the child health targets enabled us to map socio-spatial interventions and subsequently identify needs. This article highlights the potential and limits of intervention reporting as an element in the wider field of health and prevention reporting. The LGK Berlin is a network of institutions and associations that actively partake in health policy at the federal state level in Berlin and/or hold health policy responsibility. In 2012 the LGK decided to begin internal intervention reporting. Intervention reporting aims to create an instrument to optimise the management of activities and will be based on the self-commitment of LGK members to transparency in the implementation of measures in the context of Berlin's health target process [Intervention reporting was implemented for the first time in 2013 referring to measures in a kindergarten setting. LGK members were asked which measures they were implementing in kindergartens that relate to the fields of activity for Berlin's child health targets. To judge whether offers meet the (estimated) needs, the locations of the kindergartens in which LGK stakeholders were implementing measures were projected onto a map providing information on Berlin's social structure [Most LGK stakeholders view intervention reporting as a useful tool to identify social spaces with a heightened need for measures and those where needs are already being satisfied. Reporting can help account for socially compensatory aspects in the planning of measures. One risk is the potential to misinterpret results: a high number of offers in a particular area does not automatically mean that health is being effectively promoted here and vice versa, particularly because whilst intervention reporting does provide information on the kind and number of measures, it cannot say anything about how effective these measures were. Because intervention reporting only collects information on activities by the members of the LGK, it also does not provide a full picture of the activities in a social space that are directed at promoting health.Generally speaking, intervention reporting is a potential element of prevention reporting. Meaningful prevention reporting should cover all phases of the Public Health Action Cycle , 4. Heal"}
+{"text": "Editorial on the Research TopicImpact of COVID-19 on cancer care and rehabilitationThe pandemic of COVID-19 had a significant impact on healthcare worldwide, affecting the care of many high risk patients including those with cancer . ReferraFor example, short-course radiotherapy was used to delay the need for surgery in locally advanced rectal cancer and reduced attendance requirement in the hospital setting . This haA number of healthcare settings utilised technology in their outpatient clinics switching to virtual consultations thus further reducing hospital attendance whilst still providing a high quality level of care . StudiesThe British Oncology Pharmacy Association collated changes in oncology pharmacy services during the pandemic and provided a guide for its members on reviewing and evaluating these changes for consideration for future services in the endemic phase . An examThe purpose of this collection of papers is to showcase and share learning from those who have had experience of these changes including implementing the use of IT solutions and/or IT science to assist and improve clinical outcomes for patients.There are four articles in this research topic each providing insight into the affects COVID-19 has had on cancer care around the world and the initiatives that have been implemented. Each study had a unique angle to investigate with some focusing on the impact of mental wellbeing on treatment delays while others examining predictive models measuring the impact of the pandemic on hospital admissions.Cigarini et al. described the impact that the pandemic had on cancer care pathways in northern Italy and proposes a tool for providing high levels of quality care even in the most critical health situations.He et al. described factors influencing delayed treatment in people living with breast cancer. This study took place in Chengdu, China and described a cross sectional investigation of close to 400 patients living with breast cancer.Liu et al. report on an interrupted time series analysis investigating the impact of the pandemic on monthly hospital admissions for cancer patients in Henan, China. They also review the delays to diagnosis and recognise that telemedicine is not only a helpful IT solution for those that cannot visit a hospital but it can also be used to support reduction of the backlog caused by the pandemic.Jani et al. reviews the risk factors associated with worse outcomes from COVID-19 in cancer patients and understanding a suitable method to mitigate the risks of COVID-19 for this patient cohort.The final article submitted by The COVID-19 pandemic was disruptive to most health care services and healthcare professionals displayed resilience and agility in adapting the care they provided to their patients. The impact and resulting learnings were valuable and will help better prepare for any future similar disruptions.Both editors of this research topic wish to thank all submitting authors for their work. As the editorial team, we hope that this research continues to prove a useful resource to provide care to cancer patients during unprecedented times."}
+{"text": "To review the current state of diabetes treatment from a clinical and management perspective and explore the role that new biologic pharmaceuticals may offer patients who fail to meet or maintain glycemic goals with existing treatment options.Key clinical areas involve the role that insulin resistance and beta-cell dysfunction/failure play in the progression of type 2 diabetes as well as current treatment modalities and how they address those core defects. Management issues include a discussion of the economics of the disease and the implications of theUnited Kingdom Prospective Diabetes Study (UKPDS)\u2014that good glucose control reduces the occurrence of microvascular complications and improves quality of life for diabetic patients. While an intensive approach may be costly in the short term,statistics on the rising pandemic of the disease argue compellingly for early and aggressive treatment to delay fatal complications and improve the quality of life for persons suffering from type 2 diabetes. Current pharmaceutical regimens are not successfully enabling patients with type 2 diabetes to reach glycemic goals. The ramifications of this failure have profound repercussions in the managed care organization environment. Fortunately,new treatment modalities are in various stages of development. These will be reviewed with a more in-depth exploration of the potential of incretin mimetics, a new biologic, injectable class of drugs for the treatment of type 2 diabetes. Emphasis will be given to exenatide, an incretin mimetic that demonstrates particular efficacy for patients not achieving glycemic goal with oral medications and are insulin naive. Biologics are administered by injection or infusion and are generally costly. Apart from their cost, however, what is even more critical to managed care executives and decision makers is that these medications indicate a trend in pharmacotherapy,a groundswell of new medications. In addition, few practitioners and even fewer health care executives understand molecular medicine. The key message is that making formulary decisions about these pharmaceuticals will become more pressing every year.Managed care executives will be faced with the significant challenge of investing their limited resources in the most clinically and fiscally responsible manner within a milieu of ever increasing pharmacologic options that could significant lystrain budgets and result in less than optimal patient outcomes."}
+{"text": "ACS Sensors entitled \u201cSensing Technologies for Extravasation Detection:A Review\u201d1 and we appreciate theinterest it has generated in the scientific community.We recently received and checkedyour Comment about our latest Review in perse.2The authorsof the Letter pointed out remarkable observations aboutthe procedure of peripheral intravenous cannulation (PIVC) and citedinnovative and recent technologies that practitioners and cliniciansare learning to use. Since the main goal of our review is to providethe reader with an overview of the systems and strategies developedover the years to monitor the inserted catheter and possibly detectIntravenous Extravasation (IE) events, we did not go into the detailsof technologies realized for the placement of the device. Indeed,we believe that these technologies refer to a different topic (improvingthe placement and insertions of catheters in veins and arteries) anddo not really fall within the scope of our paper but could be treatedas a separate work, probably worthy of a review paper 6 The cited works are mainly related to the possibility of buildinga panel of guidelines and best practices for nurses and professionalsfor the prevention and management of IE events. This aspect is ofcourse extremely important in clinical practice and we thank the authorsof the letter for highlighting it, since these tools could be exploitedsynergistically with the technological devices we presented in ourreview and could support the human component.Some works reportedby the Comment\u2019s authors clearly demonstratethe growing interest and awareness of the need to continuously researchmethods for detection and treatment of extravasation.help themwith this. Indeed\u2014as the authors of the Comment also mentioned\u2014weshould be able to offer to the patient the best method of early detectionand identification of peripheral intravenous extravasation.This aspect isalso linked to the last comment raised by the Comment\u2019sauthors: we are aware that these technologies are not yet ready forclinical use, which is why in the last section Concluding Remarks,Challenges, and Perspectives we provided some considerations on whatwe believe are important features that an IE prevention device shouldhave. The ultimate goal was not to compare a practitioner\u2019sexperience with a technological device in detecting extravasationbut to find the best way technology can"}
+{"text": "Evidence suggests that green space use for physical activity significantly benefits to maintenance and improvement of public health. Settlements need to provide adequate access to public green spaces which enable and encourage physical activity. Provision of publicly accessible green spaces is therefore often included in different sectoral strategies and policies. However, to really meet goals and objectives, declared in these documents, appropriate and efficient actions need to be taken in spatial development practice on a local level.We present the approach, developed within the first year of the national research project PREZENCA, which aims at developing indicators for the assessment of the provision of settlements with green spaces for outdoor physical activity in Slovenian municipalities. The approach may be of interest to countries which have adequately developed strategic spatial planning of urban green spaces but lack useful tools to assess the current state and to monitor changes in the provision of quality green and other outdoor spaces to encourage physical activity.The approach is based on a comprehensive analysis of examples and possibilities for measuring presence and quantity of green spaces, defining green space types, and measuring citizens\u2019 accessibility and use of green spaces for physical activity. Content analysis of existing planning documents on a local level was carried out to elaborate: (1) whether the provision of green spaces in settlements in Slovenia is defined and how (2) which population groups are addressed and (3) where such content should be put into policy documents to support implementation in practice. Based on the results, the suggestions on relevant factors and indicators of green space provision and quality for physical activity were prepared to be further developed for evaluation and monitoring on the local level and included into spatial planning practice and policies.Furthermore, we discuss the importance of establishing local standards and possibilities to include them into planning documents to form the basis for long-term monitoring of the condition of publicly accessible green spaces for recreational use by residents."}
+{"text": "Cross-sectional data has shown that compassion for self and from others may be a protective factor for greater psychosocial wellbeing in the COVID-19 pandemic whilst fears of compassion act as a risk factor for experiencing mental health difficulties.The current study sought out to explore the natural fluctuation of compassion and of fears of compassion across time during the COVID-19 pandemic in a multinational community sample.Data from 4057 participants from 21 countries was collected at 3 time points during the pandemic . Other than demographic variables, participants completed the Compassionate Engagement and Action Scales and the Fears of Compassion Scales. Multilevel latent growth modelling was used to investigate the main aims.There was a significant increase in compassion for self and from others, whilst compassion for others remained unchanged throughout the 3 time points . Fears of self-compassion and compassion for others significantly reduced throughout the pandemic whilst fears of compassion from others remained stable .The findings from this study seem to suggest that in a period of shared suffering people from multiple countries and nationalities tend to become more compassionate and less afraid of and resistant to compassion for and from others.None Declared"}
+{"text": "In 2020 \u2013 2021 the Robert B. Greenblatt, M.D. Library at Augusta University implemented two projects leveraging virtual reality (VR) technology to provide immersive experiential learning opportunities for health sciences students. The projects shared some commonalities in spite of having differing objectives and desired outcomes. These common facets led to the success of both projects and will be helpful for other institutions considering implementing VR projects. This project is described in detail in a previously published article and was The second project utilized virtual reality technology to create a VR escape room to introduce concepts of data literacy and research data management in a more engaging way. The primary objective of this project was to instruct graduate students in the health sciences disciplines how to ethically manage data. The scholarship and data librarian was inspired to find a way to gamify the information and decided to develop the virtual reality escape room. She and the allied health sciences librarian collaborated with the Department of Physical Therapy (PT) to launch a pilot project to develop the data literacy modules for the PT graduate students. The escape room game is an innovative component to engage students in a non-traditional way beyond the classroom setting. Students work their way through the escape room by finding clues, answering questions and following instructions related to data management principles. Research shows that game-based learning can increase student learning by incorporating elements of game mechanics with established learning theories .Both projects involved partnering with Augusta University's School of Computer and Cyber Sciences, in particular a faculty member who is an expert in virtual and augmented reality. His students chose to build out the VR experiences for the library's projects as capstone projects for their degree programs. This expertise proved invaluable as the library's faculty and staff did not have the skills to build the experiences themselves. The other common elements for both of these projects are that they both involved partnership and collaboration with other academic units on campus . They also both utilized the same equipment, allowing for interoperability see . Lastly,Both of the projects have been well-received. The virtual reality space in the Greenblatt Library is being utilized by at least three groups per week. The Physical Therapy students provided positive feedback about the virtual reality escape room as a method to learn data management principles."}
+{"text": "These results are noteworthy as they were obtained in patients with high degree of cartilage degeneration (Kellgren&Lawrence grades III and IV) although commonly HTO surgery is applied for patients with early and moderate OA with lower degree of cartilage degradation [I read with great interest an article by Dong et al. . The autradation . It is aradation \u20135 and deradation , we reporadation , 8 whereAnother concern about the article by Dong et al. and otheIn conclusion, comprehensive studies of various orthobiologics associated with osteotomies including evaluation of functional outcomes at the molecular level such as analysis of proinflammatory environment and regenerative machineries should be encouraged in search for further improvement of treatment options for patients with OA."}
+{"text": "The distribution of these silver nanostars on the surface allowed excellent reproducibility of the detection with a low relative standard derivation (RSD) of SERS intensity of 8%. This work potentially builds a platform for an ultrasensitive detector where samples can be probed with little to no pre-processing and a range of pollutants can be detected at very low levels.Strategies for synthetic control of anisotropic metal nanostructures have grown in recent years in part due to their great potential for application as surface-enhanced Raman scattering (SERS) sensing substrates. It has been shown that SERS using silver substrates is a powerful tool for identification and qualification of trace chemical analysis on the basis of their unique molecular vibrations. In this work, we synthesized star-shaped silver nanostructures and fabricated SERS substrates to use the SERS enhancement of the Raman signal to detect neonicotinoid pesticides. These silver nanostar substrates were prepared by assembling the nanostar particles on a glass substrate surface using a self-assembly technique with various layers of silver nanostars film. The silver nanostar distribution on the solid substrate surface was found to have good reproducibility, reusability and were a stable SERS substrate giving SERS enhancements for pesticide detection at concentrations as low as 10 Technically, SERS occurs when conduction electrons of metal nanoparticles on the surface interact with electromagnetic radiation such as light waves, which can lead to an amplification of natural electronic oscillation. This phenomenon enhances the optical near fields to allow single molecule detection. Thus, the SERS technique is commonly used in chemistry and biology analysis because of the high sensitivity and the fact that the spectra of molecular vibrations provide a fingerprint to identify molecules .Joseph George Shapter was supported by Data will be made available on request.The authors declare that they have no known competing financial interests or personal relationships that could have appeared to influence the work reported in this paper."}
+{"text": "Oestrogen plays a vital role in maintaining a normal vulvovaginal epithelium, vaginal lubrication, as well as a healthy microbiome to ensure an acidic pH. The decrease in oestrogen levels in women going through menopause results in both physiological and physical changes of the genitourinary system, and more specifically the vulva. We conducted a literature review on the effects of low oestrogen levels on the physiology and function of the vulva and the vulvovaginal epithelium. \u2018Genitourinary syndrome of menopause\u2019 (GSM) is the term used to describe the signs and symptoms of a low oestrogen state. The symptoms and signs of GSM can overlap or coexist with other vulval dermatoses. Expert opinion is needed to diagnose and manage vulval dermatoses in menopause. This article will discuss the signs and symptoms of GSM, as well as the different management options available. Other vulval dermatoses that can be affected by hypo\u2010oestrogenism are also reviewed. The low oestrogen levels during menopause lead to physical and physiological changes to the female genitourinary tract. This can lead to the characteristic changes known as genitourinary syndrome of menopause (GSM). The symptoms and signs of GSM can overlap or coexist with other vulval dermatoses. Expert opinion is needed to diagnose and manage vulval dermatoses in menopause.here for the corresponding questions to this CME article.Click This article reviews the effects of menopause on genital skin, by discussing the features and management of genitourinary syndrome of menopause (GSM), as well as other vulval dermatoses.The Cochrane Library, National Institute for Health and Care Excellence (NICE) Evidence database and the Turning Research into Practice database were searched from 2001 to 2021. In total, 116 original research articles were found on menopause in dermatology, 42 of which related to vulval conditions. Individual searches were performed for specific queries related to our paper.The embryological origin of the vulva is the primitive urogenital sinus, which is rich in oestrogen receptors, whereas the epithelium of the labia majora is derived from the ectoderm, which has more androgen receptors.Oestrogen is vital in maintaining a normal vulvovaginal epithelium, lubrication and microbiota.GSM is a constellation of symptoms and signs caused by low levels of oestrogen.A holistic and individualized approach is required to manage GSM. The aim of treatment is to relieve the symptoms and improve QoL. It is important to exclude other causes of vulvovaginal symptoms. Treatment can be classified into hormonal or nonhormonal. Nonhormonal topical therapy options are summarized in Table\u2009Vaginal and vulval lubricants and moisturizers are important first\u2010line management options to relieve the symptoms of GSM. They help to reduce the friction and discomfort caused by the dryness and atrophy of the genital tissues. A water\u2010based lubricant is generally preferred with minimal excipients to reduce vulval irritation.Hyaluronic acid (HA) is an important component of the extracellular matrix, and plays a role in the repair of the epidermis and dermis. Menopause causes a reduction of collagen and water retention of the vaginal epithelium. HA is available in various formulations, including gel, vaginal tablets, pessaries and oral tablets.The mainstay of treatment of GSM is topical oestrogen preparation. This has consistently been shown to be the most effective treatment for the symptoms of GSM, especially vulvovaginal atrophy.Topical testosterone (dehydroepiandrosterone) is also used to help with dyspareunia and urinary symptoms of GSM.Systemic HRT is an effective treatment for the symptoms associated with menopause including those of GSM.Selective oestrogen receptor modulators are a synthetic nonsteroidal class of drugs, which act on the oestrogen receptor.Lasers and radiofrequency devices have been used to treat the symptoms of GSM.Pelvic floor exercises for women who have pelvic floor dysfunction have shown to be effective as measured by improvement in QoL and GSM assessment scores.Vulval dermatoses that can present in any age group but can potentially be exacerbated by menopause include lichen sclerosus (LS), lichen planus (LP), irritant dermatitis, and vulvodynia and vulvovaginal candidiasis. Vulval malignancy is also more common with age, and therefore more common in post\u2010menopausal women.Vulval LS is an inflammatory scarring dermatosis that predominantly affects postmenopausal women. The true aetiology is unknown but an autoimmune cause and a genetic predisposition are implicated.LP is a mucocutaneous autoimmune condition. It can cause irreversible architectural change and significant morbidity.The different types of dermatitis that can affect the vulva are atopic dermatitis, irritant contact and allergic contact dermatitis. Urinary incontinence in postmenopausal women can make them susceptible to irritant dermatitis.Vulvodynia is a chronic pain syndrome in the absence of an identifiable cause.The low oestrogen state in menopause means that candidal infections are less likely, and studies have found that vulvovaginal candidiasis is more common in women taking HRT.Premalignant and malignant conditions that can affect the vulva are listed in Table\u2009Oestrogen is vital in maintaining a healthy female genitourinary system, and the low levels of oestrogen in menopause results in characteristic changes.Decreasing levels of oestrogen in menopause lead to physical and physiological changes in the vulva, which can present as vulvovaginal atrophy.GSM is the specific diagnosis given to the effects of the low oestrogen state of menopause on the genitourinary system.This review summarizes the effects of menopause on the vulva, including the specific changes associated with GSM, and giving an overview of the management of GMS, along with a discussion of other dermatoses affecting the vulva.The mainstay of treatment of GSM is topical oestrogen therapy, which is best used in conjunction with water-based lubricants and moisturizers; systemic HRT is not routinely indicated for the symptoms of GSM alone.Dermatoses affecting the vulva include LS, LP and irritant dermatitis; the symptoms of these can overlap with GSM.A holistic and multidisciplinary team approach is needed to improve QoL for postmenopausal women.Menopause and low oestrogen states lead to physical and physiological changes in the genital skin, leading to significant morbidity. It is important to recognize the changes associated with menopause in order to offer appropriate treatment and improve QoL for affected women. More research is needed on the role of hypo\u2010oestrogenism on vulval conditions and the potential role of HRT.The authors declare that they have no conflict of interest.None.Ethics approval and informed consent not applicable.To gain up\u2010to\u2010date knowledge on the female genitourinary system and disorders that can be associated with menopause.(a) The labia minora is derived from the ectoderm.(b) The ectoderm has more androgen receptors.(c) The labia majora originates from the primitive urogenital sinus.(d) The epithelium of the labia minora is lacking in oestrogen receptors.(e) An alkaline pH is ideal for the maintenance of a healthy vulvovaginal epithelium and microbiota.Which of the following is correct regarding the embryological origins of the female urogenital tract and the healthy vulvovaginal epithelium?(a) Atrophy of the vulval tissues is the only physical sign of GSM.(b) GSM affects a small minority of menopausal women.(c) Symptom severity usually correlates with physical findings.(d) The symptoms and signs of GSM can have a significant impact on patient quality of life (QoL).(e) The symptoms of GSM tend to get better with time.Which of the following statements about genitourinary syndrome of menopause (GSM) is correct?(a) Systemic hormone replacement therapy (HRT) is indicated for the management of the vulval symptoms of menopause alone in the absence of other symptoms of menopause such as vasomotor symptoms.(b) Topical lubricants and moisturizers are not routinely recommended for the relief of symptoms of GSM.(c) There is no evidence that hyaluronic acid (HA) preparations are useful in the management of the vulval symptoms of GSM.(d) Ospemifene acts on the progesterone receptors.(e) There is not enough evidence for laser\u2010based treatment to routinely recommend their use for the management of GSM.Which of the following statements about the management of genitourinary syndrome of menopause (GSM) is correct?(a) Topical oestrogen therapy should be continued as long as it is needed.(b) Regular monitoring of endometrial thickness is advised for women on long\u2010term topical oestrogen therapy.(c) Topical oestrogen therapy has rapid onset for the relief of the symptoms of GSM.(d) Topical oestrogen therapy is safe in women taking aromatase inhibitors for the treatment of breast cancer.(e) Gel\u2010based preparations are superior.Topical oestrogen therapy is first\u2010line management of the genitourinary syndrome of menopause (GSM); which of the following statements is correct?(a) It is easy to differentiate between the clinical findings of vulval lichen sclerosus (LS) and late genitourinary syndrome of menopause (GSM).(b) Genital candidiasis is more common in menopause.(c) Low oestrogen levels lead to impaired water retention in the epidermis and impaired skin barrier function.(d) Vulvodynia usually has a clear cause.(e) Menopausal women have the same risk as premenopausal women of developing a vulval malignancy.Which of the following statements about vulval dermatoses and menopause is correct?http://www.wileyhealthlearning.com/cedThis learning activity is freely available online at Read the article in print or online, paying particular attention to the learning points and any author conflict of interest disclosures.Reflect on the article.http://www.wileyhealthlearning.com/ced and answer the CPD questions.Register or login online at Complete the required evaluation component of the activity.Users are encouraged toOnce the test is passed, you will receive a certificate and the learning activity can be added to your RCP CPD diary as a self\u2010certified entry.This activity will be available for CPD credit for 2\u2009years following its publication date. At that time, it will be reviewed and potentially updated and extended for an additional period."}
+{"text": "The treatment of psychological trauma is an integral part of the health care provided to military patients in Tunisia. For patients with PTSD several therapeutic options are proposed to patients as EMDR but there are various barriers to the use of EMDR . It seems that being patients consider the therapy which necessitate recognition and expression of emotional distress as a weakness. Added to that patients may be judged negatively by others and experiencing social rejection and isolation which limited the use of EMDR in a military setting.The aim of this study is to study the contribution of the EMDR associated to pharmacological treatment in PTSD among military patients comparing to patients who received only medication .The study was conducted since 2021 during ten months at the military hospital concerned two groups of patients with PTSD the first one composed of four military patients with PTSD who received 11 sessions of EMDR associated to medication and the second one four patients exposed to the same trauma under medication only. The evolution oftroubles were assessed using PCL-5 scale and medication compliance was assessed by psychometric scale MARS .Other data was gathered from medical files .The first group of four military patients who were followed for PTSD since a year under pharmacological treatment presented sleep disorders with flaschbaks and nightmares , . The patients consulted for a depressive disorder and asocial isolation with feelings of insecurity about others. Psychiatrists proposed to associate 11 sessions of EMDR . At the end of sessions the evolution was interesting with regression of symptoms and remission comparing to the second group who presented relapses ten months later.To improve symptoms of PTSD The use of EMDR is not systematic in a culture where emotional expression is restrictive in an environment that favors the intellect over the emotions. However EMDR can help the military patients with PTSD to link cognition to the emotions. PsychiatristS should propose this therapy as well as possible to patient with severe trauma to avoid relapse .None Declared"}
+{"text": "In the published article, there was an error. A correction has been made to the Conclusion section.The Conclusion previously stated:\u201cBuilding resilience into a reformed health system will be key in ensuring Ireland's ability to respond to future threats such as pandemics. Operationalization of the EPHFs can help ensure the health system is prepared to meet the next challenge affordably and sustainably. The findings of the review have been utilized to support high level advocacy for the shift toward public health required to build and ensure health system resilience against future threats. Work is currently underway to utilize the EPHFs to define the operational scope of public health in Ireland and to identify the scope and functions of a new national public health institute and will help inform ongoing implementation of public health reform. Given the current focus on strengthening public health capacities globally, the findings in Ireland have applicability and relevance to policy audiences and key decision makers within Ireland as well as more broadly to other WHO regions and member states for health systems recovery and building back better, fairer and more resilient health systems.\u201dThe corrected section appears below:\u201cBuilding resilience into a reformed health system will be key in ensuring Ireland's ability to respond to future threats such as pandemics. Operationalization of the EPHFs can help ensure the health system is prepared to meet the next challenge affordably and sustainably. The findings of the review have been utilized to support high level advocacy for the shift toward public health required to build and ensure health system resilience against future threats. Given the current focus on strengthening public health capacities globally, the findings in Ireland have applicability and relevance to policy audiences and key decision makers within Ireland as well as more broadly to other WHO regions and member states for health systems recovery and building back better, fairer and more resilient health systems.\u201dThe authors apologize for this error and state that this does not change the scientific conclusions of the article in any way. The original article has been updated."}
+{"text": "The Government of Kerala in 2017 launched the Aardram Mission with the aim to revamp public health delivery in the State. A key strategy under the mission was its focus on comprehensive primary health care to achieve equitable health care delivery through the Family Health Centre (FHC) initiative. Given this, the current study aims to examine the primary health care policy discourse for their perspectives on caste-driven inequities.The study undertook a Critical Discourse Analysis (CDA) of the primary health care policy discourse\u00a0in Kerala. This included CDA of spoken words by senior health policy actors and policy texts on Aardram Mission and FHC.Though equity was a major aspirational goal of the Mission, related policy discourse around equity failed to acknowledge caste as a potential axis of health marginalisation in the State. The dismissal of caste manifested in three major ways within the policy discourse. One, the \u2018invisibilisation\u2019 of caste-driven inequities through strategies of (un)conscious exclusion of Dalit issues and \u2018obliteration\u2019 of caste differences through the construction of abstract and homogenous groups that invisibilise Dalits. Secondly, locating caste as a barrier to primary health care initiatives and health equity in the state, and finally through the maintenance of an \u2018apoliticised\u2019 social determinants discourse that fails to recognize the role of caste in shaping health disparities, specifically among Dalits in Kerala.Given Kerala\u2019s renewed commitment to strengthening its public health provisioning, the acknowledgment of caste-driven inequities is invariable in its path toward health equity and social justice. That Dalits (Scheduled Castes or SC in administrative parlance) are one of the most marginalised social groups in contemporary India is not something new to Indian academia and policymakers. While many countries have had similar hierarchisation of societies, none was as complex, pervasive, and long-lasting as the caste system that exists in India. The resilience of caste in the face of myriad historical changes including feudalism, colonial rule, and modern-day capitalism is proof enough of its adaptability and the complex grip it wields over Indian society , 2. ThisThe Indian state of Kerala despite its low economic performance is often hailed for its achievements within human development indices. The State is often considered a model, even for the third-world regions burdened with the history of colonialist exploitation and chronic developmental inequality. The developmental landscape of Kerala is marked by its impeccable achievements in the social sector reflected as high levels of life expectancy, literacy, and low levels of maternal and infant mortality . An achiThe continuing presence of health inequities along caste lines in the state is often argued as the product of deep-rooted and historically shaped caste norms leading to social exclusion and denial of opportunities of social development for Dalits including education, landownership, and employment amongst others, despite the strident growth in terms of poverty reduction and human development post the 1980\u2019s in Kerala . The expWhile Kerala achieved significant improvements over the years in human development indicators and in the domain of health, its achievements in health post the economic liberalisation of the \u201890\u00a0s have often been argued as unimpressive. Reflected through the reversal of its achievements within indicators like infant mortality rate, and childhood anaemia during the period between 2003 to 2012 . In additranslated as \u2018New Kerala\u2019) Mission conceived by the incumbent government (led by the Communist Party of India (Marxist)), that sought course corrections in terms of the historical exclusion of various social groups within the state\u2019s developmental trajectory. The Nava Kerala mission within its umbrella consisted of four key sub missions 1) The Aardram mission, 2) Life mission , 3) mission to revamp public education and 4) \u2018Haritha Keralam\u2019 mission . These missions were part of the Left government\u2019s aspiration to ensure a developmental model that is much more equitable and inclusive of the underprivileged and marginalised sections in the state [In full recognition of the widening gaps within the health landscape in terms of reduced public presence and growing distrust in the public health system, the Government of Kerala initiated the Aardram Mission in 2017 [he state .The Aardram mission through its approaches, therefore, also aligned itself with the new national policy roadmap set out by the National Health Policy, 2017 that sought to achieve Universal Health Coverage. These included initiatives such as \u2018Ayushman Bharat\u2019 that aimed at the transformation of Primary Health Centres and Sub-Centres as Health and Wellness Centres (HWCs) with the specific aim of delivering Comprehensive Primary Health Care that is easily accessible for communities at the grassroots , 23. On The policy affirmation on comprehensive primary health care through the Aardram mission along with the other three missions under the \u2018Nava Kerala\u2019 Mission, therefore, presents itself as a unique opportunity for the state to take cognizance of unaddressed health inequity gaps that continue to exist in Kerala. The current study, therefore, locates itself within this context of revived commitment on the part of the Government of Kerala on comprehensive primary health care, reflected through the Aardram and FHC initiative and aims to examine how it problematise the situation of Dalits and the ways to overcome their health challenges.Health policy and systems research (HPSR) has over the years gained substantially from its engagement with the construct of power and its analysis, specifically to gather a nuanced understanding of the mechanisms and structures that generate health inequities and disparities. Application of theories on power and deeper empirical examination of its dimensions does hold significance in the attempts to locate health policies as also a product of wider social, political, and historical contexts and to drive potential revisions and improvements to generate equitable health outcomes through them. Power here is defined as the capacity \u2018to do something or act in a particular way\u2019 and \u2018to direct or influence the behaviour of others or the course of events. Quite crucial, as power relations do hold the ability to shape societies and societal interactions and thereby also in the process shape health and related policies and subsequent health outcomes. The current study specifically draws from the idea of analysing power and how it may flow through societal expressions in the context of health policies and systems. To analyse how power manifests and expresses itself within health policies reflected through their unique positionalities and expressions of social relations and in turn how they may also engender health disparities .One of the suggestive methods to undertake the analytical examination of words both written and oral is using a Discourse Analysis approach. It facilitates a deeper examination of oral and written acts of communication to bring to the fore the subtle yet shared ways of perceiving the world around us and what may be considered normal , 27. DisThe application of CDA was guided in the current study using the four-phased approach to CDA Fig.\u00a0 suggesteThe formal policy documents related to Aardram and FHC were sourced from multiple sources. The Aardram document on FHC was collected from the office of the State Health Systems Resource Centre, Department of Health, Government of Kerala in Thiruvananthapuram. In addition, documents on the Aardram mission available from the website of the National Health Mission, Kerala were also sourced. The policy officials\u2019 narratives on primary health care and their ideas on various marginalised communities in Kerala were prepared through in-depth interviews with seniormost policy officials at the Directorate of Health Services (DHS), Department of Health, Government of Kerala (GoK). This involved interviews with officials from the Directorate of Health, District Medical Officers (DMO) as well as District Program Managers (DPM) under the National Health Mission and senior officials of the State Aardram mission Table . The finA central idea within CDA is the fact that social actors from different social locations see and express the world differently and exploring the use of language within discourse could be a way to bring out these differences . This isThe analysis of the policy discourse on primary health care in the current study primarily pivoted itself to the dimension of equity from a caste lens. Specifically, through the examination of how equity and its dimensions are being expressed within the policy discourse on Primary Health Care. This has been undertaken by examining how the policy discourse problematise health vulnerabilities in the state and subsequently examining the nature in which caste is being discussed within the discourse on health inequities in the State. The CDA of the policy discourse in this regard points to three related aspects. Firstly, the discursive strategies adopted by policy actors that aimed at Dalit \u2018invisibilisation\u2019 within the policy discourse. These include methods such as the overt exclusion of references to caste as a potential axis of health vulnerability and/or through subtle ways of obliterating caste differences and thereby mobilising health vulnerabilities to inexistent social groupings that further invisibilise Dalits. Secondly to locate caste as a barrier to effective primary health care strategies and thirdly through \u2018apoliticised\u2019 discourse on social determinants that is devoid of the consideration to caste-driven health disparities in the State.A common theme within the discourses on marginalised social groups was the ways in which they carefully avoided references to caste as a probable axis of marginalisation in Kerala, where dimensions of caste remained obvious through their unignorable absence. Discourse that excludes caste-related marginalisation also by extension remain blind to the situation of Dalits in the state and prioritised efforts in the context of primary health care initiatives in the State.The policy official Table , Quote 1Dalit exclusion was also found shaped within the policy discourse through their discursive subsumption under abstract and homogenous social categories.One of the ways in which the policy narratives discursively obliterated caste differences was through the construction of an abstract \u2018general community\u2019 and limiting ideas of marginalisation exclusively from the point of geographically and religiously tangible social groups Table , Quote 1A second way of discursively obliterating caste differences is through the forceful imposition of logics of economic inequality over caste-driven inequities in Kerala Table , Quote 2Yet another way caste was found subsumed within other categories is through the homogenous category of \u2018SC/ST\u2019 Table , Quote 3Within the policy document, the word SC appears 5 times, yet in all these instances it is never used or defined in its own right as a specific social class but always as \u2018SC/ST\u2019. Although a possible fallacy in the argument here would be the unique contexts in which these terms may be appearing within the policy document justifying the clubbing of SC and ST. While it may not be completely wrong to argue so, the document however without delineating the unique social realities and health needs of two completely different social groups, such homogenising narratives can only further reinforce the existing discursive patterns of subsuming caste groups under the abstract category of \u2018SC/ST\u2019. One that may do justice, neither to Dalits nor to Aadivasis in terms of recognising their differential health needs and thereby pre-empting the possibility of providing equitable primary health care services.To be read along with the patterns of caste invisibilisation achieved through its subsumption within constructed abstract social groups is the perception of caste as a barrier to novel primary healthcare strategies in the State. The discourses on marginalisation largely perceived caste as a fractural construct that can negatively influence the implementation of primary health care strategies, and by implication renders consideration of caste within primary health care modalities as a negative idea.The narratives related to primary health care innovations often tend to iterate the need to approach the community as a homogenous group Table , Quote 1The narrative also further considers the exclusion of certain social groups as normalised and a taken-for-granted requirement in the context of primary health care innovations anywhere. This is established through the statement that \u2018it is always difficult to consider only a small section\u2019 and \u2018there is always the barrier of some sections not accepting innovations.\u2019 This view by extension is also normalising and legitimising exclusions that continue to exist in the case of various marginalised sections of the community including Dalits in Kerala as a given within local primary health care-related projects.Yet another way caste was excluded and located as a barrier was through the relegation of caste as an irrelevant grouping when it comes to the idea of primary healthcare Table , Quote 2However, even this narrow take on social groups evidently turned problematic, upon pointed inquiries of caste as an axis of marginalisation Table , Quote 2The analysis of the State Government\u2019s Aardram Policy document too points to a discourse that is blind to the existing caste-driven disparities in the State. The policy document on Aardram and Family health centre specifically stood out in terms of its unique representation of Dalits and in its complete absence in terms of not recognising caste as an axis of inequity and a social determinant of health marginalisation in the State.Most striking is the way in which the FHC document locates the word Scheduled caste within its considerations for health care priority Table , Quote 1While the policy also suggests the idea of marginalised communities and specific care for them, here too it fails to speak explicitly about social groupings based on caste in its discourse on marginalisation in Kerala Table , Quote 3The Aardram mission and the FHC initiative clearly suggest Kerala Government\u2019s commitment to reviving the primary health care provisioning in the State. This is also reiterated by the fact that it pivots itself on comprehensive primary health care as its approach to achieve the larger goals of equity and social justice for the state. However, the analysis of the policy suggests the persisting gaps in its conceptualisation and articulation of equity and underprivileged specifically from a caste lens. The existing discourse on marginalisation within the primary health care policy in Kerala is characterised by a blindness to caste-driven inequities and the existing social realities of Dalits as a marginalised social group. One that is also curious given its acknowledgment of Adivasis and coastal communities as marginalised, groups which too are historically marginalised in the State , 37\u201339. A good place to start here would be, therefore, to problematise the nature of representation of caste as a possible axis of marginalisation in Kerala as well as the ways in which the policy engages with Dalits. The primary health care policy discourse examined in the study was evident in its dismissal of the caste question or in recognizing caste as a potential axis of marginalisation. The policy narratives were characteristically evident with an ominous reluctance to mention the word caste or scheduled castes related to discourses on marginalisation and health inequity in the state. Beyond the recognition of Adivasi and coastal communities, the marginalisation narratives in the current study almost exclusively existed along the axes of biomedical markers of age and sex, access to drinking water, and hygiene. The palpable need to dismiss any reference to caste within marginalisation discourses within the current study alludes to a conscious or unconscious yet strong repugnance towards discussions on caste. Quite similar to what sociologist Satish Deshpande argued in his thesis on \u2018castelessness\u2019, where he discusses how various historical legal, and policy decisions on the issue of caste and reservation in India have shaped a new \u2018common sense\u2019 of caste in India. He argues that the word caste is almost often immediately reinterpreted as \u2018lower castes\u2019 within the collective discourses. This also has parallels to similar recontextualizations within other universal categories of gender and race. Gender is almost often construed as women from a conventional patriarchal common sense and race as people of colour from a white supremacist sense .The reductionist logic of caste as \u2018lower caste\u2019 has significant relevance in the current study too, since dismissing caste also by extension suggests the exclusion of Dalits themselves as a marginalised social category. Through the avoidance of discussions on caste, there is an uncanny resemblance of the Brahminic logics of purity and impurity being carried over to the realm of social discourses on health and by extension exclusion of Dalits. An evident contempt to even discuss caste among the ruling elites, leading to the existing caste blindness within policies. This is also in line with the \u2018Social Nausea\u2019 argument by sociologist Awanish Kumar, where he argues that Indian policy today suffers from the potent combination of social isolation backed by the regressive notion of Brahminical caste and that of social nausea of elite castes towards utterances of caste and Dalits. The result is the inability of public policies on health to effectively address the real issues of the masses in India . The facThe discursive ostracization of Dalits also seems to have been facilitated by the differences in the geographical attributes of Aadivasis/coastal communities and Dalits in Kerala. Historically Aadivasi and fisherfolk communities have remained distinct from their non-Aadivasi/coastal counterparts in Kerala. Specifically, in terms of the almost exclusive geographical presence of Aadivasi communities along the Western Ghats and fisherfolks within the long coastal belts of Kerala with their own distinct socio-cultural identities , 47, oneth report of the Administrative Reforms Commission of the Kerala government, majority of the state\u2019s slum population is constituted by marginalised Dalit sections and is characterised by poor housing status, subpar infrastructural facilities, and sanitation services amongst a host of others [What\u2019s also not helping is the adversarial position historically adopted by the political left including Communist parties in India and in Kerala towards caste and caste-identity politics. The urgency in declaring caste-identity politics as an antithetical force to Marxian class politics has often contributed to the political left\u2019s inability to accommodate the struggles of various historically marginalised social groups in India including Dalits . The subf others . Besidesf others . The resf others . HoweverAn obvious corollary being the stark contradictions within the state\u2019s health policy that is adamantly caste blind despite chronic disparities both in terms of access to basic determinants of health as well as health outcomes among Dalits. A toxic contrast, arguably drawn from the \u2018Savarna (upper caste) gaze\u2019 that is relentless in its attempt to normalize Dalit invisibilisation within its discourse on health inequities. Achieved in this case through clandestine ways of shaping discourse on health inequities that is quick to deny the spotlight on caste-inequities either through dismissal or by \u2018mobilising health vulnerabilities\u2019 to amorphous social groupings that shall never have a Dalit focus as its priority. A rather lucid demonstration of how caste continuously arranges and rearrange itself to find ways and means to continue its status quo and maintain the social order of caste hierarchies in Indian societies . These pI, therefore, argue that as a first step it is important to deconstruct current policy discourses on development in the state by carefully breaking them down to their individual contradictions that constitute their exclusive positions and subjecting them to deeper understanding and subsequent problematisation . InsightWhile there is a renewed rhetoric against health inequities under the Aardram mission and FHC initiative, the Kerala health system\u2019s policy discourse on primary health care suggests the persisting presence of a \u2018Savarna gaze\u2019 that is quick to dismiss the role of caste-related social hierarchies in shaping health disparities among Dalits in the state. Through a discourse that is silent about existing caste-driven health inequities, the renewed policies on comprehensive primary health care under the FHC initiative also stand to engender social practices of primary health care at the grassroots in the state through various Local Self-Government Institutions (LSGIs) that are also similarly blind to caste inequities. This is crucial as a key anchor point for the implementation of the Aardram mission and FHC initiative is the ability of decentralised LSGIs across Kerala to pro-actively undertake and implement the strategies envisioned through the mission at the level of communities at the grassroots . The pol"}
+{"text": "Extensive research has demonstrated the effectiveness of physical activity interventions for middle aged and older adults (MAOA). Despite this effectiveness, the actual reach of the target population participating in these interventions in a real-world setting remains relatively low. This demonstrates the urgent need for further implementation research. In the Netherlands, this need has been recognized earlier, leading to the foundation of the ZonMW financed Implementation Network Sports and Physical Activity: the presenters in this symposium are all members of that network.The aim of this symposium is to describe barriers and facilitators regarding implementation that were determined by qualitative studies among MOAO and stakeholders. In addition, the development of a practical tool that stimulates implementation by stakeholders is presented. These studies were grounded in relevant scientific frameworks such as Consolidated Framework for Implementation Research (CFIR) and Implementation Mapping. This symposium also provides recommendations for future research and practice in the shape of potential strategies that can be applied when implementing interventions."}
+{"text": "Managed care pharmacists are faced daily with choices regarding how to deliver the best care with finite resources. Whether it is through encouraging appropriate utilization of medications via formulary management and drug utilization evaluation or through chronic diseasemanagement programs, pharmacists are guiding patient care with effectiveness, quality, and an eye toward value. It is with these goals in mind that pharmacists can benefit from the research produced by the Agency for Healthcare Research and Quality (AHRQ)."}
+{"text": "Klippel\u2013Trenaunay syndrome (KTS) is a very rare vascular malformation syndrome also referred to as a capillary\u2013lymphatic\u2013venous malformation with unknown aetiology. The aim of our paper is to highlight interesting images, regarding a rare case of foetal Klippel\u2013Trenaunay syndrome diagnosed prenatally in our department and confirmed postnatally with a favourable evolution during the gestation and neonatal periods. This case was diagnosed at 26 weeks gestation and characterised through ultrasound by the presence of superficial multiple cystic structures of different sizes spreading over the left leg with hemihypertrophy and reduced mobility. The cystic lesions were spreading to the left buttock and the pelvic area. The right leg and upper limbs had normal appearance with good mobility. There were no signs of hyperdynamic circulation or foetal anaemia, but mild polyhydramnios was associated. The ultrasound findings were confirmed postnatally, the left leg presented multiple cystic lesions and port wine stains, and there was hypertrophy and fixed position, with favourable evolution at 6 months of life, when the size of the lesions began to decrease and the mobility of the leg improved."}
+{"text": "The translation of evidence based practice to clinical care in rehabilitation settings has been limited , 2. It cDespite such challenges, the effective implementation of evidence based cognitive rehabilitation treatments is essential and the process of clinical implementation for cognitive rehabilitation has been specifically investigated \u20137. In anboth before and during the implementation of the intervention are integral to delivering flexible interventions in practice. Additional modifications that may occur in clinical practice include applying an intervention to a clinical population that was not included in the empirical research or to an individual who may not have met inclusion criteria in the research studies associated with the intervention approach in inpatient stroke rehabilitation, was conducted at five rehabilitation hospitals in Canada . In thisIt is likely that increased integration of implementation science and knowledge translation paradigms in the area of cognitive rehabilitation will allow for increased communication and collaboration between cognitive rehabilitation researchers and practitioners and will contribute to increased development of flexible evidence-based protocols that can flow from the research lab to the more fluid demands of the treatment environment. Such flexibility will allow for guided modifications to evidence-based cognitive rehabilitation treatment protocols and data driven application of cognitive rehabilitation which aligns with clinical recommendations. Formal tracking and documentation of needed and implemented modifications, as well as improved dialogue between researchers and clinicians are necessities. Such dialogue will encourage a common language through which to communicate about cognitive rehabilitation concepts and to d"}
+{"text": "Comprehensive sexuality education is a scientifically accurate global program that encompasses the variable aspects necessary for achieving healthy sexual and reproductive health in children of school-going age. It provides a holistic approach to developing sound knowledge and a positive attitude in a manner that does not blatantly refute the established sociocultural norms but rather delicately treads around them to bust unhealthy practices through age-appropriate measures. It is deemed necessary for health professionals to be appropriately trained to better convey sensitive information regarding sexual and reproductive well-being in a manner that is acceptable and effective, especially in the context of orthodox communities. The available guidelines of CSE help to explore the very sensitive aspects of sexuality without becoming flustered and without imposing ideas upon the recipient. The need for health professionals to receive formal training to be able to answer potential queries in an effective manner would help relieve the enormous health burden arising from mere ignorance.5In 2018 Comprehensive sexuality education (CSE) was defined by United Nation Educational, Scientific and Cultural Organization (UNESCO).6 Being thus backed up by the scientific community we felt much more confident in putting our plans into action.During our internship, we proposed to conduct a health awareness program in a local government school targeting school-going children between grades 8 and 10. At the end of our session, we hoped to better equip our target group with the basic information needed to make informed choices regarding their sexual behaviour, strengthen their relationships with their friends and family and respect and appreciate their interpersonal differences. Being medical students gave us a scientific edge in addressing the anatomical and physiological aspects of adolescence. But we understood a sensitive topic like itself would require us to be strong yet approachable to break the ice with our participants. It would be challenging to overcome reservation and shyness on both ends. There was also the risk of coming across as being \"vulgar\" or instigating risky behaviour by \"putting ideas in one's head\". We felt the need to find established and tested age-appropriate norms in communicating sexual information to the impressionable young minds of children. In doing so we discovered the CSE program by UNESCO along with several studies conceding to the efficacy of this program in perpetuating much of the same goals as ours. Opposed to the common misconception that such programs encourage young adults to engage in risky sexual acts studies showed that two in three CSE programs provided evidence of a decrease in risky sexual behaviour and encouraged responsible decision-making like the use of contraception.Before the main event, we decided to conduct a mock session amongst our own team to better apprehend the questions that could arise on an actual day. Surprisingly many of us had strikingly different views on the same topics. This instigated extensive debates and arguments among ourselves making us realise that it was necessary to recognize our goals clearly and not impose our personal beliefs or practices onto others in order to succeed. This persuaded us to seek formal training from certified CSE trainers. We felt it was important to avoid imprinting personal opinions particularly regarding grey areas into the minds of the young children and only deliver facts in the form of a clear message. Recalling our own school days brought to us the revelation that hardly any of us had any definite knowledge on a lot of sexual and reproductive topics as adolescents. Much of what young adults know is theoretical and the little practical knowledge they do have is borrowed from social platforms or from conversations with their peers. Even in medical school much of what is taught describes unhealthy sexual behaviour and hardly any literature is found painting a healthy sexual relationship. This later poses problems in the form of unclear concepts and inadequate vocabulary. Overcoming the uneasiness with our own friends and discussing openly during our training made us realize that knowing earlier what we knew then could have saved us from tremendous anxiety and uncertainty while growing up. The training proved very insightful and we realized that even after medical school there was much to learn.7We conducted our pilot program as a tutor-based peer-to-peer learning with two tutors, a male and a female, assigned to a total of 20 trainees. It comprised health education, demonstration, information exchange and active question-and-answer sessions. Young adults are naturally inquisitive and have the ability to soak up information like a sponge. But even so, as anticipated talking about anything even remotely associated with sex caused them to initially show inhibition and shyness. But once they overcame the awkwardness we found them to be remarkably inquisitive and brimming with queries. The open and casual discussion enabled us to unmask traditional firmly rooted beliefs like menstruation being a time of \"ridding body of impure blood\" and the lack of clarity regarding bodily processes like \"menstrual blood flows from the same opening as that for urine\". Busting myths in a delicate yet affirmative manner was the most challenging of all tasks but our formal CSE training had prepared us for that part. Above everything we had learnt that it was necessary to respect our subjects for them to reiterate our teachings. In several instances, we felt that the training had prepared us to avoid potential controversies and grey moral grounds while still providing an appropriate and acceptable response. The receptiveness and kindness that the children demonstrated were a fresh breath of air. We were truly overwhelmed with how fulfilled we felt towards the end of the program and this has only fuelled us to conduct more such programs thereafter. We understand that a limitation to CSE programs, especially in South Asian settings due to cultural normative patterns can be the elimination of dialogue regarding pleasure and sexual fluidity. This may be due to the portrayal of sex as problematic behaviour and not as a natural entity.Available literature from the last three decades offers strong evidence for the effectiveness of CSE. School programs can be framed to be initiated early on and delivered successively over increasing grades to build up knowledge in a manner that is age appropriate and essential. Health professionals should seek to be better informed regarding the aspects of CSE to delve better into prevention medicine. The need for formal training on CSE is necessary to better reiterate learning objectives without potentially harming the existing cultural sentiments and dissuading the participants. It would also help in acquiring clear concepts and an appropriate vocabulary to interact without becoming flustered while remaining respectful to the target audience. As medical professionals, we are capable of sending out enormous ripples of positive changes. Only through formal training and indulgence in research can we equip ourselves for the battle against ignorance. It is upon ourselves to seek to become adequate before we begin to address inadequacies. While there may be limitations to what can be comfortably included in our discussions, it is time we start where we stand and begin the climb to a better view."}
+{"text": "We thank the authors for elevBecause meat intake is often at the crux of scientific debate on optimal healthy, sustainable diets for the population , this reThe DGA model dietary patterns that are intended to provide examples of healthy dietary patterns use food groups and subgroups rather than individual foods and beverages to avoid being prescriptive . The modWhile the authors compare"}
+{"text": "We read the article by Theodoraki K and colleagues entitled \u2018Colloid Preload versus Crystalloid Co-Load in the Setting of Norepinephrine Infusion during Cesarean Section: Time and Type of Administered Fluids Do Not Matter\u2019 with interest . The aimThere are some possible related concerns worth being discussed further.1. The intraoperative use of hydroxyethyl starch (HES) solutions remain controversial regarding that the perioperative use of HES have increasingly been reported to both the US Food and Drugs Administration and the European Medicines Agency (EMA) . Accordi2. According to an international consensus statement, maternal hypotension following spinal anesthesia should be treated or prevented routinely with vasopressors . In this3. In a study aiming to determine the effects of in vitro hemodilution with HES on the coagulation status of women, it was concluded that an HES solution causes significant hypocoagulable changes in the thromboelastographic profile . From an4. The safety category of HES during parturiency and breastfeeding is C, which means \u2018the effects on fetus is unknown and adverse effects were obtained in animal reproduction studies on the fetus and there are no adequate and well-controlled studies in humans, but potential benefits may warrant use of the drug in pregnant women despite potential risks\u2019. There are not enough data to recommend the use of HES for children, and it is widely accepted that administration of HES to pregnant and breastfeeding women must be limited to emergency cases only .Given the abovementioned concerns and the relevance of coagulation abnormalities that might eventually result into extensive bleeding and a hysterectomy and the limitations provided by EMA, is it worth using HES instead of using vasopressors as the first-line therapy in patients undergoing cesaren delivery without any hemodynamic instability?We believe that clarification of these issues will result in better deductions and improve the anesthetic management of parturients with safety concerns."}
+{"text": "This is the authors\u2019 response to peer-review reports for \u201cInformation Technology Ambidexterity, Digital Dynamic Capability, and Knowledge Processes as Enablers of Patient Agility: Empirical Study\u201dComments and Responses by the Authors MethodsDescribe the study [Move the highlighted (in the reviewed manuscript) content under Data Collection Procedures to a new subsection under subsection heading Study Population (see comments in the reviewed manuscript)The highlighted content should be under a new subsection heading Study DesignProvide content on another two subsection headings:Sampling TechniquesSample SizeSeparate content under Data Collection Procedure into two new subsection headingsData Collection Tool and ProcedureData Analysis and ManagementMove Table 1 to Analyses & Results sectionProvide content under two new subsection headings: Inclusion and Exclusion CriteriaEthics ConsiderationsAuthors: The sections mentioned in this review are esseInclusion and exclusion criteria were combined with sample size, as we described how we got the final sample and why we included respondents (and why not).AbstractDo not begin a sentence with abbreviation of figureUse past tense under Methods See comments in the reviewed manuscriptIntroductionUse physicians in lieu of doctorsUse health care providers not other medical professionalsKeep in-text citation to the end of sentenceAdd health information management professionals among the key stakeholdersConsider reducing the whole of section 2 to 1-2 paragraphs and keep it within the Introduction section just before your study objective. This is to reduce readers\u2019 boredom.Compress the content under research models and hypothesesResultsMake your findings more visible hereMake your writing more readable to known and unknown readersDiscussionPlausible and insightful discussion but not a reflection of the content under the Results. Make the Results section more readable and meaningful to your audience.FigureUse Fig not FigureAcknowledgement It is scientifically necessary that you acknowledge the numerous (n=107) participants, who are the major stakeholders in your research.ReferenceList at least 3 authors before et al Follow the Referencing Style consistentlyOthersUse participants not respondentsAuthors: We adjusted this accordingly.Thank you for the opportunity to review this paper on the lesser known topic of information and communications technology ambidexterity. The paper is well cited, uses appropriate methods, and discusses the concepts and findings in a clear and thorough manner. The paper should appeal to a broad audience. It is a good example of the underrepresented information and communications technology\u2013centered literature in health care.Authors: We would like to thank this reviewer for these kind words . We hopeWell thought out study design with specific hypotheses and methods of analysis spelled out. Interesting conclusions drawn out that would be fruitful for further discussion and analysis to replicate on a broader sample of hospital systems outside of the current reviewed sites.Authors: We would also like to thank this reviewer for these kind words . We agre"}
+{"text": "Reply to the Editor:The authors reported no conflicts of interest.Journal policy requires editors and reviewers to disclose conflicts of interest and to decline handling or reviewing manuscripts for which they may have a conflict of interest. The editors and reviewers of this article have no conflicts of interest.The We thank the author for his interest in our article titled \u201cConventional Versus Miniaturized Cardiopulmonary Bypass: A Systematic Review and Meta-Analysis.\u201dIt is well known that cardiopulmonary bypass induces a systemic inflammatory response due to the contact of the patient's blood with nonendothelial surfaces and air, which is accompanied by an increase in cytokine levels. The attenuation of this inflammatory response is associated with a reduction of morbidity and mortality after cardiac surgery.We note that the author reported the formation of a colloid film as an incidental finding during the administration of polygeline (Emagel) for volume integration in the establishment of cardiopulmonary bypass. The use of a colloid film as a solution to temporarily reduce air\u2013blood contact in optimized open circuits has both potential benefits and risks.,The elimination of the air\u2013blood interface reduces contact activation of blood components when exposed to air, especially with longer perfusion times . However,Colloid solutions are effective in increasing circulatory blood volume and maintaining colloid osmotic pressure in cardiopulmonary bypass. However, the use of such solutions increases the cost of cardiac surgery and may cause adverse reactions such as histamine release, resulting in hypotension, bronchospasm, and skin rash.The hemodilution effect caused by large amounts of colloids could result in an increased risk of stroke or other neurological events through cerebral hypoperfusion.Although the formation of a colloid film reduces air\u2013blood contact for a short period of time, the clinical benefits of this are not well investigated. The use of solutions to limit air\u2013blood contact in optimized open circuits is thought provoking, and more research is needed to fully evaluate its effectiveness and safety."}
+{"text": "BackgroundPost-operative complications present a challenge to the healthcare system due to the high unpredictability of their incidence. However, the socioeconomic factors that relate to postoperative complications are still unclear as they can be heterogeneous based on communities, types of surgical services, and sex and gender.MethodsIn this study, we conducted a large population cross-sectional analysis of social vulnerability and the odds of various post-surgical complications. We built statistical logistic regression models of postsurgical complications with social vulnerability index as the independent variable along with sex interaction.ResultsWe found that social vulnerability was associated with abnormal heart rhythm with socioeconomic status and housing status being the main association factors. We also found associations of the interaction of social vulnerability and female sex with an increase in odds of heart attack and surgical wound infection.ConclusionsOur results indicate that social vulnerability measures such as socioeconomic status and housing conditions could be related to health outcomes. This suggests that the domain of preventive medicine should place social vulnerability as a priority to achieve its goals.The authors would like to note that Mohamed Abdelhack and Sandhya Tripathi contributed equally to this work."}
+{"text": "A more dynamic school day that includes less sitting and more physical activity throughout the day may support health in primary school children. In this mixed methodologies study, we assessed which physical activity possibilities are incorporated in the school policies of Dutch primary schools and if this translates into more physical activity in pupils.Seven primary schools were included in the study. The head teachers completed a questionnaire on the incorporation of physical activity in the school policy. Physical activity policy was assessed for physical education, physical activity during breaks, scheduling of physical activity during lessons, after school physical activity and active transport to school. In each school, actual physical activity was objectively measured using accelerometers in pupils in two classes and planning and logging of PA by teachers.We will assess the impact of the school policy on physical activity in pupils using logistic regression. We will assess the impact of the several school policies on total physical activity in pupils, and on the three modalities of physical activity.The results of this study will give us more insight in the current role of physical activity in Dutch primary schools. The potential impact of the school policy on physical activity levels in pupils can be used as a starting point for a more integral dynamic school day approach.This study was partially funded by \u201cStichting Westelijke Tuinsteden\u2019."}
+{"text": "Chicken breast meat is one of the most sustainable and affordable sources of animal protein making it one of the most popular protein sources globally. As such, maintaining consistency in product quality is of the utmost importance. Over the last decade three novel myopathies have been identified in broilers (White striping (WS), Wooden breast (WB) and Spaghetti breast (SB)) ; there hThe exact aetiology of the myopathies is still not fully understood however a wide range of studies have used gene expression , proteomGenetic selection for broiler performance traits such as bodyweight (BW) and breast yield (BY) has been a core theory as a cause of the myopathies. Published data of large populations of broiler pure lines have estimated low genetic correlation between the three myopathies and performance traits (BY and BW), this indicates there is little shared genetic background between the myopathies and broiler performance traits ; 2020. HThere are many non-genetic factors that can influence broiler growth rates such as incubation, brooding, nutrition, temperature and ventilation . A key aOxidative stress and hypoxia have been highlighted as a key feature of all three myopathies thereforWhilst genetic correlations indicate that there are no significant links between the myopathies and bird growth at the genetic level, phenotypically it is often the larger birds in a flock which express the myopathies. This phenotypic relationship is not always the case however, as some studies report that WS and WB are not linked to bird weight . Wooden One approach to influencing growth is reducing nutrient intake by diluting or limiting the availability of feed; these methods ultimately impact upon the efficiency of production through poor bird growth or the birds compensate by eating more food and thus do not offer a suitable solution . By targvia the intermediate guanidinoacetic acid (GAA) but thisid (GAA) . Exogenoid (GAA) ; 2018b.Increasing dietary antioxidants such as vitamin E and selenium have been used to reduce oxidative stress and myopathies but results have been mixed and may depend upon the quality of fat in the diet . A novelpost mortem, the authors stated that SB was not and thus not described fully due to the uncertainty; this raises the question of whether SB is present in the live bird (post mortem change in the muscle. Immediately post mortem, muscle pH drops as a result of lactic acid production which is accompanied by the release of proteolytic enzymes (post mortem changes in the muscle and thus increase SB incidence in a flock. The rate of cooling of carcases post mortem has an influence on the rate of lactic acid production and the activity of the proteolytic enzymes (Spaghetti breast is probably the least understood myopathy and its ive bird or only enzymes . This pr enzymes and, in enzymes \u2014the slow enzymes . The useBreast myopathies remain an important focus for the poultry industry and the poultry science community, and it is clear that there is still a lot to understand. The reduction in breast myopathies relies on a holistic approach to control: Balanced breeding by poultry breeders can target the genetic component but the larger influence from non-genetic factors remains an important focus area. Understanding the biological needs of the muscle and ongoing physiology in the modern broiler provides key time-points for strategies to reduce the myopathies and gain more insight into their aetiology ."}
+{"text": "Due to a production error, an incorrect Conflict of Interest statement was provided. The correct Conflict of Interest statement appears below. The publisher apologizes for this mistake.\u201cThe authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest.\u00ae. After investigation, the journal has no reason to believe that the scientific conclusions of the article are affected in any way.\u201dA reviewer of this manuscript, Devan Mehrotra, is a biostatistician at Merck & Co., Inc., known as MSD outside the United States and Canada. The pharmaceutical ivermectin studied in this manuscript is manufactured and marketed by Merck & Co., Inc. in the United States under the brand name STROMECTOLThe original article has been updated."}
+{"text": "It is much more important to know what sort of a patient has a disease, than what sort of disease a patient has.William Osler1Despite powerful narratives echoing a purported existence of meritocracy in our society, major racial and ethnic disparities in health and healthcare have persisted for hundreds of years. Yet a clear understanding of structural societal inequities and not innate group differences underlying the racial disparities in health was articulated nearly 200\u2009years ago by Dr. James McCune.It was not until the 1985 Report of the Secretary's Task Force on Black and Minority Health, led by Dr. Margaret Heckler, that the nation could accept such disparities as a problem worthy of consideration. Soon thereafter, the 2003 Institute of Medicine report entitled \u201cUnequal Treatment: Confronting Racial and Ethnic Disparities in Health Care\u201d sought to not only codify racial and ethnic group differences in health outcomes, but emphasized these were due to how people were treated and not due to innate attributes. It also identified how this mistreatment led to differences in the quality of and access to health care.AHRQ Equity Agenda and Action Plan that was created to help guide priorities to advance health equity. This commentary addresses two interrelated articles, written by Chisholm et al.The emerging focus on the quality of and access to health care at the turn of the 21st century was embraced by the Agency for Healthcare Research and Quality (AHRQ) who in 2003 started to formally track disparities in health care delivery as it relates to racial and socioeconomic factors in priority populations. This formal tracking of disparities played a critical role in developing the evidence base for health systems to improve and advance their ability to provide the best care to all of us. Spurred by the Coronavirus 2019 (COVID\u201019) pandemic and the 2020 murder of George Floyd, the US health care system faced a social and health equity justice movement. This movement emphasized the role of racism and the inequitable distribution of the social determinants of health (SDoH), the broad set of forces and systems shaping the conditions of daily life, as major driving forces in health disparities and major root causes in the racial and ethnic disparities in the access to and quality of health care. In 2022, AHRQ sponsored a Health Equity Summit to bring together multiple working groups from the 2021 2Chisholm et al.Jindal et al.Together, these articles reflect the importance of how addressing inequities in access to and quality of health care must be done with consideration of systemic racism and intersectionality, and emphasize the importance of high\u2010quality research to inform equitable health care delivery.These outcomes and recommendations from the AHRQ's 2022 Health Equity Summit help to more optimally position AHRQ to address inequities in access to and quality of health care, created and once again perpetuated by legal decisions during this time of potential new limits in tools we have available to achieve equity. The importance of a focus on the SDoH as a pathway through which racism works is critical given the potential implications of the new Supreme Court rulings, which state that universities can consider \u201can applicant's discussion of how race affected his or her life, be it through discrimination, inspiration, or otherwise.\u201d3AHRQ's Health Equity Summit was prescient in its timing, preceded two major landmark events with major implications for the health equity landscape\u2014the recent Supreme Court rulings , which have ended affirmative action in college admissions and yet allowed discrimination based on free expression despite public accommodation laws. These rulings do not mean that racial and ethnic or other identity\u2010based inequities no longer exist, particularly with regard to health. However, these rulings limit the approaches that can be used to address health inequities, particularly those focused on health workforce composition or regulations requiring equal provision of service. We will collectively need to innovate to ensure that health systems have the appropriate research findings and data to implement requisite solutions to reduce health disparities and improve health equity. This is why a focus by AHRQ explicitly on equity in access to and quality of health care will be critical, as AHRQ can be the driver for necessary health equity innovation through its research agenda and funding priorities.Some have argued that health care organizations are not well equipped to take on many of the root causes of health disparities such as inequities in the allocation of social determinants of health (SDoH).However, to truly reverse many of the structural and longstanding issues that underpin health inequities, AHRQ will need to directly partner more closely with affected communities.4Ensuring health equity is critical for all of us in the care we receive from health care delivery systems, especially the components that affect our ability to access care. Implementation of these proposed approaches for AHRQ to infuse its research agenda would be important steps toward achieving health equity.Dr. Ong receives relevant funding from the Agency for Healthcare Research and Quality (K12 HS026407) and the Department of Veteran Affairs Health Services Research & Development (CIN 13\u2010417). Dr. Norris receives relevant funding from the National Institutes of Health ."}
+{"text": "Rapid assessment of avoidable blindness (RAAB) is a population-based survey methodology that is designed to provide a simple and affordable \u2013 yet reliable \u2013 estimate of the prevalence and causes of vision impairment and blindness among people aged 50 years and older in a defined population. RAAB is therefore an important tool in achieving the global eye health priorities set out by the World Health Organization's World Report on Vision and the Lancet Global Health Commission on Global Eye Health.,RAAB surveys provide the majority of the data used to estimate the global and regional prevalence and causes of vision impairment, as well as data which are vital for tracking progress towards eye health within universal health coverage, such as effective cataract surgical coverage and effective refractive error coverage.www.raab.world) collates RAAB survey results and datasets and makes them available for secondary analyses; data from 118 of the 330 RAABs carried out since 2000 have has been made available for this purpose. We encourage more RAAB survey principal investigators and data owners to share their data via the repository, so that the global eye health community collectively can have a more comprehensive and powerful evidence base for research and advocacy.The RAAB repository ("}
+{"text": "In our study we reconVariations in monsoon moisture supply are a crucial physical process to disentangle, and isolating the influence of atmospheric black carbon is a welWhile the study of Yang et\u00a0al. demonstrThe rapid decline of glaciers in the Southeastern Tibetan Plateau threatens the sustainability of its water resources, and understanding these two complementary drivers will help to design mitigation measures and refine projections of glacier and hydrological changes."}
+{"text": "Standardization Is Necessary in the Methods to Assess the Value of Electronic Prescribing Systems In the May 2005 issue of JMCP, we reported that an electronic prescribing system with integrated clinical decision support was effective at improving prescribing behavior and lowering prescription costs. In contrast, Ross et al. reported in the June 2005 issue of JMCP that a different electronic prescribing system had no impact on generic drug utilization or formulary compliance."}
+{"text": "Individuals with schizophrenia exhibit severe speech and Theory of Mind (ToM) deficits creating substantial handicaps for them on the level of communication and interpersonal skills. Consequently, these individuals cannot adequately take part in social life, and are exposed to marginalization in all aspects of life. Hence, communication impairments associated with schizophrenia are a central issue to investigate in order to optimize their quality of life and functioning in society. The study being part of an interdisciplinary research is based on guided interviews related to a short story by Hemingway. The analysis of person deictic expressions related to social emotions and social interactions combined with the most frequently used mental state terms identified in the corpus may not only describe the severity of linguistic disturbances indicating ToM deficits but can also help understand patients\u2019 social dysfunction and difficulties in the context of social cohesion.The primary task of the functional linguistic research is to identify and classify the occurrence of linguistic disturbances during mentalizing processes expressed via mental state terms. The study particularly focuses on interpersonal relations expressed with person deictic forms that may indicate the difficulties of this patient group with social cohesion.The End of Something. The interviews were digitally recorded and transcribed in Hungarian. The qualitative analysis was performed with Sketch Engine corpus analysis tool, which assisted in the identification and classification of collocations associated with the interviewees\u2019 mental processes directed at interpersonal relations expressed by person deictic forms.The corpus involves 40 guided interviews including 20 individuals with schizophrenia treated at the Department of Psychiatry of the University of P\u00e9cs and 20 controls. The interviews were conducted by a PhD student of Psychology in Hungarian and centred around Hemingway\u2019s short story entitled \u2018I don\u2019t know\u2019 combined with person deictic expressions revealed that individuals with schizophrenia have difficulty attributing mental states to a specific linguistic utterance during a social situation (e.g. \u2018I don\u2019t know why somebody said that\u2019). These examples show that their communicative and interpersonal skills are substantially impaired.Pragmatic processes including the communicative aspect showed severe deficiencies. The most commonly used mental state term The findings can offer some possible indications for psychotherapists how to detect pragmatic impairments in schizophrenic speech and interpret mental state terms with reference to social interaction, thereby contributing significantly to therapeutic success enhancing the social reintegration of individuals with schizophrenia.None Declared"}
+{"text": "Frontiers in Cell and Developmental Biology presents an exciting series of articles encompassing significant developments in the application of Pluripotent Stem Cells (PSCs) to the treatment of ophthalmological diseases. Diseases affecting the retina and its associated innervation present significant societal challenges since treatments are frequently limited to symptom management and slowing the progression of the disease rather than affecting a complete cure. Conditions such as Age-Related Macular Degeneration (AMD) characterised by declining functions of both the retinal pigment epithelium and neural retina, and Glaucoma which involves dysfunction of retinal ganglion cells and the optic nerve, currently affect approximately 280 million individuals worldwide. Without the means to repair the damage to retinal structures, the impact of these diseases will worsen as the numbers of older individuals in the global population increases; thus the costs of disease management are likely to rise significantly. In view of these sobering observations, the number research efforts aimed at increasing our understanding of retinal degeneration and developing methods to ameliorate the decline are encouraging.Rohowetz and Koulen in this Research Topic is exciting since it provides a highly informative review of the current state of the art in RPE transplantation. A key point arising from this publication is that the safety of RPE transplant seems to be promising and that adverse events arising during the procedure are more likely related to surgery induced damage or to the need for immunosuppression which indicates the need for more precise HLA matching; however, an alternative strategy to eliminate the need for immunosuppression might be to generate RPE cells from \u201chypoimmunogenic\u201d iPSC lines in which the assembly of the MHC-I major histocompatibility complex at the cell surface is inhibited by homozygous knockout of the gene encoding \u03b2-2-microglobulin . Of particular value is the light responsiveness of organoid photoreceptors (in vivo retinogenesis and restate disease phenotypes seen in patients (V\u00f6lkner et al. to this series is valuable because it further optimises the process of retinal organoid generation which will be of considerable use to other groups in this field. The last publication in this series published by Wahlin et al. explores early retinal development by introducing markers of eye field development that may be used to distinguish those cells that have committed to a retinal development fate from those that may be forming cells that contribute to other regions of the CNS.The remaining two papers in this series add to our understanding of pluripotent stem cell derived retinal organoid development. This is an important enquiry since many of the cell types generated in 3D retinal organoids show more advanced maturity than those generated by 2D differentiation protocols (with the exception of eceptors which unpatients . NaturalOverall, we have enjoyed reading these incisive articles and we hope that the reader will draw the same level of inspiration and enjoyment from this special series highlighting the great contributions of pluripotent stem cells to the understanding and potential treatment of eye diseases."}
+{"text": "In a review of UK-supported clinical trials more than half of the investigators asked the funding agency for an extension and a third did not hit their recruitment targets . Study fPreviously we investigated the requirements of clinical and protocol development experts for a system to support trial design and recruitment. We developed a software architecture which addresses their primary concerns: preservation of consent for consent; improving the efficiency of the trial design process and automation of as much as possible of the recruitment workflow . The FARWe have worked with local clinical research organisations to evaluate FARSITE, running recruitment criteria for on-going clinical trials through FARSITE and comparing our estimates of numbers of patients eligible for the trial with the trials\u2019 actual recruitment rates. A strong correlation was observed between protocols with a low FARSITE recruitment estimate and trials struggling to recruit participantsWe have shown that FARSITE can improve the speed and efficiency of clinical trials feasibility, allowing researchers to quickly assess the feasibility of trials in advance."}
+{"text": "Crude and fractionated Xenopus egg extracts can be used to provide ingredients for reconstituting cellular processes for morphological and biochemical analysis. Egg lysis and differential centrifugation are used to prepare the crude extract which in turn in used to prepare fractionated extracts and light membrane preparations. Current Protocols in Cell Biology.The complete text protocol for this experimental approach is available in"}
+{"text": "This research is concerned with the peristaltic flow of third order nanofluid in an asymmetric channel. The governing equations of third order nanofluid are modelled in wave frame of reference. Effect of induced magnetic field is considered. Long wavelength and low Reynolds number situation is tackled. Numerical solutions of the governing problem are computed and analyzed. The effects of Brownian motion and thermophoretic diffusion of nano particles are particularly emphasized. Physical quantities such as velocity, pressure rise, temperature, induced magnetic field and concentration distributions are discussed. Peristaltic motion is now an important research topic due to its immense applications in engineering and physiology. This type of rhythmic contraction is the basis of peristaltic pumps that move fluids through tubes without direct contact with pump components. This is a particular advantage in biological/medical applications where the pumped material need not to contact any surface except the interior of the tube. The word \u201cperistalsis\u201d comes from a Greek word \u201cPeristaltikos\u201dwhich means clasping and compressing. The peristaltic flow has specific involvement in the transport of urine from kidney to the bladder, chyme movement in gastrointestinal tract, movement of ovum in the female fallopian tubes, blood circulation in the small blood vessels, roller and finger pumps, sanitary fluid transport and many others. Latham Heat transfer in cooling processes is quite popular area of industrial research. Conventional methods for increasing cooling rates include the extended surfaces such as fins and enhancing flow rates. These conventional methods have their own limitations such as undesirable increase in the thermal management system's size and increasing pumping power respectively. The thermal conductivity characteristics of ordinary heat transfer fluids like oil, water and ethylene glycol mixture are not adequate to meet today's requirements. The thermal conductivity of these fluids have key role in heat transfer coefficient between the heat transfer medium and heat transfer surface. Hence many techniques have been proposed for improvement in thermal conductivity of ordinary fluids by suspending nano particles in liquids. The term \u201cnano\u201d introduced by Choi The aim of present study is to venture further in the regime of peristalsis for fluids with nanoparticles. Therefore we examine here the mixed convective peristaltic transport of third order nanofluid in an asymmetric channel. Channel asymmetry is produced by peristaltic waves of different amplitude and phases. Mathematical modelling involves the consideration of induced magnetic field, Brownian motion and thermophorsis effects. Numerical solution of nonlinear problem is obtained using shooting method. Limiting case for viscous nanofluid in symmetric channel is also analyzed. Detailed analysis for the quantities of interest is seen.Extra stress tensor Consider third order nanofluid in an asymmetric channel of width To facilitate the analysis, we introduce the following transformations between fixed and wave framesThe dimensionless boundary conditions are given byOur main interest in this section is to examine the velocity (This subsection illustrates the behavior of emerging parameters The variations of or and \u201313.Effect of heat transfer on peristalsis is shown in the Influence of mass transfer on peristalsis is shown in the The variations of Trapping phenomenon is shown in the A detailed analysis is presented for peristaltic transport of third order nanofluid in an asymmetric channel with an induced magnetic field and mixed convection. The main findings of the presented study are listed below.Pumping rate increases with Velocity distribution is increasing functions of Deborah number at the centre of channel. Absolute value of axial velocity and pressure rise in third order nanofluid is larger than viscous nanofluid.Influence of Temperature distribution is an increasing function of Brownian motion parameter (Induced magnetic field increases with"}
+{"text": "The recent development and implementation of a catheter-based approach to denervate the renal sympathetic nerves in patients with resistant hypertension has ensured that the sympathetic nervous system (SNS) remains on center stage in cardiovascular medicine (Krum et al., Sympathetic neural drive is dependent on a range of factors including race, sex, and age. This idea is developed further in the review of Fu who poinThree articles acknowledge the limitations of multiunit MSNA and emphasize the increased information associated with recording single unit MSNA. Single unit recording is technically more difficult; however, it provides a more precise description of the way vasoconstrictor neurons behave during a sympathetic burst. Upon our previous findings, we (Lambert et al., The SNS has long been recognized to play a central role in cardiovascular regulation, and targeting sympathetic activity is certainly a therapeutical approach in the treatment of many cardiovascular diseases. Thus, a reliable tool to assess SNS activity such as microneurography remains essential in order to comprehend the physiological mechanisms underlying disturbed SNS activity and to assess the effects of therapeutical strategies. It is anticipated that assessment of both multiunit and single unit will remain central in future investigations related to cardiovascular health."}
+{"text": "In humans the two cerebral hemispheres have essential roles in controlling the upper limb. The purpose of this article is to draw attention to the potential importance of ipsilateral descending pathways for functional recovery after stroke, and the use of non-invasive brain stimulation (NBS) protocols of the contralesional primary motor cortex (M1). Conventionally NBS is used to suppress contralesional M1, and to attenuate transcallosal inhibition onto the ipsilesional M1. There has been little consideration of the fact that contralesional M1 suppression may also reduce excitability of ipsilateral descending pathways that may be important for paretic upper limb control for some patients. One such ipsilateral pathway is the cortico-reticulo-propriospinal pathway (CRPP). In this review we outline a neurophysiological model to explain how contralesional M1 may gain control of the paretic arm via the CRPP. We conclude that the relative importance of the CRPP for motor control in individual patients must be considered before using NBS to suppress contralesional M1. Neurophysiological, neuroimaging, and clinical assessments can assist this decision making and facilitate the translation of NBS into the clinical setting. Reaching forward with the arm to manipulate objects with the hand is a quintessential function for higher order primates. Upper limb movements involve a fine balance between proximal stability and distal dexterity, presenting a unique motor control challenge to the central nervous system. There is a growing body of evidence that skilled upper limb function is under the control of both contralateral (cM1) and ipsilateral (iM1) motor cortices provide objective information about corticospinal tract integrity. TMS and DWI can be used in combination with clinical measures to predict the potential for recovery of function with rehabilitation (Stinear et al., It is becoming increasingly clear that skilled function of the upper limb relies on the balance of excitability of cM1 and iM1 in healthy adults. In this article we propose a neurophysiological model of ipsilateral neural control of the proximal upper limb via the CRPP. The model highlights the importance of understanding how the degree of compensatory activity in the contralesional hemisphere after stroke contributes to paretic upper limb function across a range of impairment levels. It is proposed that NBS protocols are not \u201cone size fits all\u201d and should be carefully selected based on individual patient characteristics. Research has targeted the development of structural and functional biomarkers that can be combined with clinical tests to allow NBS to be individually prescribed as an adjuvant to therapy after stroke. These methods of patient stratification based on objective measures of impairment should be used to determine the optimum intervention in future studies of NBS in stroke. Individualization may increase effectiveness of NBS in clinical trials and expedite translation from research laboratory to the clinical setting.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "This article introduces the concept of \u2018cognitive comorbidity,\u2019 which lays emphasis on common cognitive deficits that cut across different disorders. The concept is illustrated with the help of two commonly reported overlapping conditions (autism and epilepsy). It is further explained by concentrating on two important cognitive processes of facial emotional recognition and emotional memory, shown to be compromised in both conditions; and their underlying neural substrates. Cognitive comorbidity is then contrasted with \u2018comorbidity,\u2019 a term which is more commonly used for describing cognitive disorders. The paper closes by providing directions for rehabilitative and theoretical efforts that could be inspired by the newly introduced concept. This article aims to introduce and understand the concept of \u2018cognitive comorbidity\u2019 and differentiate it from the more common usage of the term \u2018comorbidity\u2019. The current paper strives to achieve this aim by describing the overlapping symptoms of autism and epilepsy. These two disorders are chosen as examples because of the high rate of association between the two . This article is not an attempt to discuss the comorbidity between these two disorders in the technical sense of the word \u201ccomorbidity,\u201d as it is described in scientific literature but to discuss and highlight the overlap of cognitive deficits. All through, the focus will be on cognitive processes and references to brain/neural structures are provided to advance understanding of the concept. This way of explanation is hoped to be a better method from the viewpoint of theoretical formulations and would also help to throw light on the issue of \u201ccomorbidity,\u201d the way it is described in the scientific literature. Therefore, first the description of comorbidity is given, which is followed by a brief introduction to the disorders.Fried, Ferrucci, Darer, Williamson & Anderson (2004) explain comorbidity as, \u201cthe concurrent presence of two or more medically diagnosed diseases in the same individual, with the diagnosis of each contributing disease based on established, widely recognized criteria\u201d.The DSM-IV defines autism as a disorder with impairments in socialization, imagination and communication with stereotyped repetitive interests . Autism is a prototypical example of autism spectrum disorders (ASD). The term ASD is used to define life-long developmental disorders of the brain with variable severity . Approximately one-third of the children on the autism spectrum are shown to develop epilepsy .Epilepsy is defined as two unprovoked seizures of any kind that result from genetic defects, due to diffuse or focal pathology in the brain, or due to an unknown cause. Thus seizures due to trauma, infection or metabolic illness are not defined as epilepsy .et al. 2004; Beversdorf et al. 1998; Paesschen et al. 1996). Two most important tasks that have been conducted to demonstrate the cognitive deficits are facial emotion recognition and emotional memory task. Facial emotion recognition and emotional memory are hypothesized to be dependent upon the integrity of functional connections between amygdala and the fusiform cortex and between amygdala and the hippocampus respectively . Consistent with the hypothesized relations, Brierley et al. (2004) showed inefficient performance by patients suffering from epilepsy and amygdala damage on the two tasks. Their emotion recognition task dealt with perception of affect from faces and voices while the emotional memory tasks dealt with narratives and novel word recognition. There was also a lack of association between the emotional memory and the emotion recognition tasks, thus showing that these two are different cognitive processes.The neurobiology of autism and epilepsy, especially temporal lobe epilepsy, can be similar; that is, the integrity of the amygdala has been found to be compromised in both the disorders; and various cognitive tasks conducted on people inflicted by both of these separately reflect this compromised integrity also proposed two different neural connections responsible for supporting performance on the two tasks where deficits in facial emotion recognition could arise due to disruptions of connections from the amygdala to the fusiform cortex, and problems on the emotional memory task could arise due to disruptions of connections from the amygdala and hippocampus. Similar performance deficits are also shown by the autistic subjects of Beversdorf et al. (1998) on an emotional memory task. Beversdorf and colleagues presented emotional sentences and coherent/incoherent stories and word lists to their autistic and normal subjects. Autistic and normal individuals showed comparable performance on recalling coherent/incoherent word lists and stories but differed only with respect to recalling emotional sentences, with the autistics remembering lesser number of emotional sentences. Deficits of emotional facial recognition have also been observed for autistics where they showed normal performance on a facial discrimination task but impaired performance on emotional facial recognition task . These results put together show that the two cognitive processes can be disturbed in both the disorders.Brierley This paper makes an initial attempt to highlight the common cognitive processes that might be disturbed in both the conditions giving a possible clue to the comorbidity, in this case, cognitive comorbidity. The paper does not go into the details of different types of autistic spectrum problems or different types of epilepsies as the aim is to highlight broad cognitive processes that could be disturbed. It only concentrates on the common neural and cognitive substrates. By highlighting the issue of cognitive comorbidity, the paper is a step in the direction of encouraging researchers to investigate such issues by looking at the overlap of cognitive deficits between disorders and not to emphasize \u201ccomorbidity\u201d based on the incidence rate of the disorders.The previous sections show that emotional memory and emotional facial recognition could be disturbed in a similar manner in both the disorders despite the fact that these two disorders are totally different from each other. In order to provide direct support for the concept of cognitive comorbidity, we need studies that concentrate on examining the performance of both autistics and individuals with epilepsy on these tasks in the same study so that direct comparisons could be drawn. In its current state, the concept of cognitive comorbidity could only be indirectly supported with findings from separate studies and thus future studies need to be planned not only on these two disorders but other similar cases of disorders that have been reported in the literature as comorbid or associated disorders; for instance, attention deficit hyperactivity disorder (ADHD) and tics.Research directed at theories of cognitive disorders and cognitive rehabilitation would save precious efforts if guided by the concept of cognitive comorbidity as this would discourage separate research attempts focusing on different disorders and would definitely go a long way in encouraging coordinated efforts at understanding the overlapping cognitive deficits that cut across the different categories of disorders. It becomes a lot easier to explain the nature of cognitive functions that are disrupted in a similar manner across different disorders but it is difficult to explain these disruptions across two different disorders especially when the current thrust of the field is to place disorders into separate categories. Emphasizing on cognitive comorbidity also helps one apply precious successful attempts of rehabilitation designed to address an underlying cognitive deficit across the disorders but this can only be done when it is known that similar cognitive processes are disturbed. To come up with different rehabilitation programs for different disorders can be very costly, especially if one follows the strategy of placing these into different categories as this can happen at the cost of ignoring the common underlying cognitive substrates.Current article highlights the concept of cognitive comorbidity by elucidating the differences and similarities between autism and epilepsy. The hypothesis still requires direct comparison of patients suffering from both autism and epilepsy on the commonly disturbed processes that support emotional memory and emotional facial recognition. Direct comparison in this manner will not only be helpful in providing support for the cognitive comorbidity hypothesis but will also help us understand the common underlying symptoms that might be important and hence could be targeted commonly across the disorders. This will help us save previous time and resources deployed for treating different disorders separately. For instance, if research shows that emotional memory and facial emotional discrimination are commonly disturbed in both autism and epilepsy, one single intervention strategy (e.g. cognitive rehabilitation program) could be easily designed for autistics and patients of epilepsy. Providing support for cognitive comorbidity might not work well with researchers and clinicians who are looking for more discrimination among the disorders for the purpose of classification and distinction among various categories but this concept could potentially work well for therapists who deal with many patients and suffer from time constraints. Efforts directed at cognitive comorbidity will work well with patients and their families who are not happy to be tagged by some diagnostic label or the other.It is hoped that future work in this direction can be instrumental in stimulating research and highlighting other such overlaps that will be ultimately useful in constraining theories about cognitive processes and also trimming diagnostic criteria and saving precious resources geared towards interventions.This article makes an attempt to highlight the cognitive comorbidity between autism and epilepsy where the structural and the functional integrity of the amygdala is compromised. Hence, there are similar cognitive deficits in both the disorders observed on two tasks, namely, facial emotion recognition and emotional memory, which are supported by the amygdala. Work also shows that these two cognitive processes are not correlated with each other and either both or one of them can be disturbed in autismNone declared.This work or parts of it are not published anywhere else.How can the concept of cognitive comorbidity be extended to other cognitive disorders?How can clinicians save on precious resources by developing the concept of common disturbance among disorders and develop intervention techniques accordingly?How well can this concept of cognitive comorbidity be integrated into popular classifications like the DSM?Should we altogether abolish placing cognitive disorders into various classifications and only focus on overlapping cognitive profiles? http://www.jspsciences.org and as the editorial member of the New School of Psychology Bulletin www.nspb.netNeha Khetrapal is currently a graduate student at the Centre of Excellence \u201cCognitive Interaction Technology\u201d (CITEC) and the Faculty of Psychology and Sport Sciences, investigating the interaction of spatial processes and language and is supported by Deutsche Forschungsgemeinschaft (DFG) grant managed through the Graduate School of CITEC, Germany. She has been a holder of various awards, and the most important recognition earned by her is from Marquis Who\u2019s Who in the World for 2009. The author also serves currently as the reviewer for Journal of Social and Psychological Sciences"}
+{"text": "Tracheostomy is common in the acute care facility today. The care for these patients is challenging for the nurses in the ward where knowledge and skill is tested and often lacking resulting in emergency shift of these patients to ICU. As we found it difficult to care for this group in the wards inspite of continous training, we decided to have a dedicated tracheostomy ward for patient safety and better outcome. As a part of training, this module on tracheostomy care was developed by the medical ICU nurses.Tracheostomy is common in the acute care facility today. The care for these patients is challenging for the nurses in the ward where knowledge and skill is tested and often lacking resulting in emergency shift of these patients to ICU. Often chronic patients tend to be overlooked in Infection control practices (ICP)aspect. This leads increased Health care associated infections (HAI) along with increased morbidity & mortality.To reduce the HAI in tracheostomy patients by ensuring proper infection control practices implementation by effective training module.As we found it difficult to care for this group in the wards inspite of continous training, we decided to have a dedicated tracheostomy ward for patient safety and better outcome. As a part of training, a module on tracheostomy care was developed by the medical ICU(MICU) nurses. Infection control issues are discussed in these patients as they are patients on long term care All the sisters who take care of patients having Tracheostomy are educated with the help of this audio visual medium. Also hands on training is provided with the help of a mannequin.The care is improving in these patients. This is reflected in lower HAI rates and decrease in number of patients returning to the ICU\u2019s from wards with tube blocks and aspirations.Continuous training is the most important part for sustaining ICP in a healthcare setup. We identified the tracheostomy patients as those falling in the high risk category for HAI. We could successfully train our sisters and implement the tracheostomy care practices and bring down the HAI rates.None declared."}
+{"text": "Gloucestershire Learning Disability Partnership is a collaborative service of NHS Gloucestershire and Gloucestershire County Council. It serves over 2500 people with a learning disability and is currently working to incorporate telecare and telehealth into its mainstream services. We believe this proposed presentation would fit under the Developing Applications at Scale category. The Partnership Commissioners recognising the internal barriers to effecting telecare and telehealth applications commissioned a service from external providers which substantially improved service and reduced costs as compared with in-house telecare assessments and implementation. A new partnership was established with two external providers: Allied Health care/Tunstall. Their work is exemplified in the attached case study. The Learning Disability Partnership is now able to commission the evaluation of requirements, establishing the baseline and effecting the necessary changes in a continuous stream. This is now being rolled out across the county for learning disability services.The barriers to success: the internal barriers which prevented telecare and telehealth from happening. How we get in our own way to making change happen.How we commissioned around the barriers and achieved success.The case study and other examples of significant service improvements and savings.The next generation:At the front end of services the partnership is now actively using teleprompting, geofencing and GPS systems to facilitate the enablement of people with a learning disability and enhance their abilities to be independent. Service users express delight in having control of their own lives versus having \u2018support workers\u2019 follow them around (DVD available).Q and A. The main presenter would be Chris Haynes, an accomplished international speaker winner of the Queens Golden Jubilee Medal for Public Service and currently Joint Commissioner of Learning Disability Services.The presentation would follow the following format:There will be representatives from Allied and Tunstall on hand to discuss their involvement and how it works."}
+{"text": "The exhaled breath of more than four hundred patients who presented at the Environmental Health Center \u2013 Dallas with chemical sensitivity conditions were analyzed for the relative abundance of their breath chemical composition by gas chromatography and mass spectrometry for volatile and semi-volatile organic compounds. All presenting patients had no fewer than four and as many as eight co-morbid conditions. Surprisingly, almost all the exhaled breath analyses showed the presence of a preponderance of lipophilic aliphatic and aromatic hydrocarbons. The hydrophilic compounds present were almost entirely of natural origin, i.e. expected metabolites of foods. The lipophile, primarily C3 to C16 hydrocarbons and believed to have come from inhalation of polluted air, were, in all cases, present at concentrations far below those known to be toxic to humans, but caused sensitivity and signs of chemical overload. The co-morbid health effects observed are believed to be caused by the sequential absorption of lipophilic and hydrophilic chemicals; an initial absorption and retention of lipophile followed by a subsequent absorption of hydrophilic species facilitated by the retained lipophile to produce chemical mixtures that are toxic at very low levels. It is hypothesized that co-morbid conditions in chemically sensitive individuals can be predicted from analysis of their exhaled breath. All of these patients presented with between four and nine co-morbid conditions. It was anticipated that the chemical compositions and concentrations of these chemicals in the exhaled breath could be predictive of chemical sensitivity and other co-morbid conditions.Of the more than 400 patients, the records of thirty randomly chosen individuals were selected for detailed study. These individuals ranged in age from 12 to 86 years with a median age of 47.7, and 70% were female. Between 40 and 120 chemicals were identified in the exhaled breath of each patient. As the concentrations of all were low ( in the part per billion range), the top 20 in abundance were taken as significant for potential impact. The presenting patients who were analyzed for relative abundance all had between 4 and 9 distinct points of impact of the chemicals in their bodies and all had exhibited signs and symptoms of chemical sensitivity. The breath analysis samples were collected in a less polluted environmentally controlled room by the methods of Rea and Phillips Rea . Air colThe compounds found in the exhaled breath of these patients were almost exclusively exogenous lipophilic C3 to C16 aliphatic and aromatic hydrocarbons. Hydrophilic compounds were almost all endogenous. The concentrations measured were orders of magnitude lower than the known toxic levels of these species. The abundances of the top 6 at times were relatively high, in the 200\u20131000 part per billion (ppb) range, but still far below the known toxicity levels for these compounds.Since almost exclusively lipophilic exogenous compounds were identified in the analysis and because of the similar toxicological properties of these compounds, the lipophils were considered as additive and treated as such.et al., et al., et al., et al., All presenting patients had nervous systems and immune system impacts and most had respiratory, cardiovascular and gastrointestinal impacts as well. All had a minimum of 4 and a maximum of 9 different systems affected. et al., et al., It should be noted that lipophilic hydrocarbons are not known to attack any of the systems listed above with the exception of the nervous system, but the nervous system is not known to be impacted by these compounds at the low levels found exhaled butane and one exhaled propane, despite the fact that those species were not present in ambient air.It was anticipated that certain organ/system effects could be associated with specific exhaled chemical species. Though all patients exhibited multiple system effects, this did not turn out to be the case. Essentially no exogenous hydrophilic chemicals were found in the exhaled breaths of the study group. Numerous lipophilic hydrocarbons, however, including the very low molecular weight propane and butane were exhaled by patients despite not being present in the air gradients of the room in which these individuals were studied.et al., et al., It is hypothesized that the finding of lipophilic hydrocarbons in the alveolar air of individuals with zero values recorded for their ambient less polluted room air gradients is indicative of relatively long term retention of these chemicals. This hypothesis is consistent with the known toxicology of these chemicals, i.e. that they are metabolized/eliminated much more slowly than hydrophilic species and tobacco smoke. The results presented here suggest that chemically sensitive individuals should avoid exposures to these sources as much as possible.Members of the subject study group were found to have numerous systemic ill health effects triggered by chemicals and having one of their diagnoses as Chemical Sensitivity. Their exhaled breath analysis revealed the presence of a preponderance of low level lipophilic hydrocarbon species, that alone are believed to be of very low toxicity, and essentially no exogenous hydrophilic species. The ill health effects induced are believed to be caused by the establishment of a steady state lipophilic layer on body membranes and subsequent exposure to toxic hydrophilic species results in the lipophile facilitated absorption of hydrophilic species that would otherwise not be absorbed. This sequential absorption of chemical mixtures is believed to be responsible for the onset of environmentally induced systemic effects in people. The presence of exogenous lipophilic chemicals in the exhaled breath of chemically sensitive individuals is believed to be predictive of neurological, immunological, respiratory, cardiovascular, gastrointestinal and other health effects in such people.These findings point out the need to limit environmental exposures to lipophilic chemicals even at levels far below their current permissible exposure levels (PELs). It is also recommended that PELs for chemical toxicants be reduced by at least one order of magnitude and that air and water pollution allowable concentrations likewise be significantly lowered."}
+{"text": "The purpose of this viewpoint is to provide rationale for the cellular investigation of blood flow restriction (BFR) in the absence of exercise, as this may provide a novel insight into the mechanisms exclusive to the restriction stimulus itself. Most of the research on BFR thus far has been completed with BFR in combination with low intensity resistance training. To illustrate, BFR in combination with low intensity exercise has consistently been observed to result in improvements in muscle size and function activity observed with low intensity resistance exercise combined with BFR are greater than those observed with resistance exercise alone (Takarada et al., Many hypotheses exist for the mechanism behind the beneficial effects observed with BFR; however it may be necessary to research the effects of BFR in the absence of resistance exercise in order to allow for a clearer picture of what is physiologically occurring with the BFR stimulus itself. We would like to suggest that acute muscle swelling may be the mechanism behind the reductions in muscle size and strength declines observed following surgery or cast immobilization. In addition, this swelling may also help explain the increases in muscle size and strength previously observed from slow walking in combination with BFR (Abe et al.,"}
+{"text": "Spigelian hernia (SH) is rarely seen in pediatric age group and is usually associated with cryptorchidism on the same side; termed as a syndromic association of the defect in the Spigelian fascia and absence of gubernaculum and inguinal canal. The absence of the inguinal canal has surgical implication as to placement of the undescended testis into the scrotum. A 3-month-old baby presented with spigelian hernia and ipsilateral impalpable testis. The spigelian hernia was repaired and undescended testis which was present in abdominal wall layers was brought to scrotum with cord structures anterior to external oblique muscle. SH is rare in children with only 59 pediatric cases reported up until 2012 since its first description in 1935.[1-4] The anatomical basis of SH is weakness in the SH belt arising from a transversus abdominis aponeurosis between the lateral edge of the rectus sheath and the semilunar line that stretches from the ninth rib to the pubic tubercle. Whereas adult SHs are considered to be acquired because of trauma or increased intra-abdominal pressure, pediatric cases are suspected to be congenital. Among male infants with SHs, 75% are associated with cryptorchidism.[6] The association of ipsilateral undescended testis and SH is being debated whether it is a cause or effect relationship. Raveenthiran suggested that a defect in the Spigelian fascia combined with ipsilateral cryptorchidism, may be a part of new syndrome.[7] Rushfeldt and others suggested that the additional lack of a gubernaculum and inguinal canal in similar cases, may be considered as two additional and closely connected elements of this new syndrome.[2] We have managed a 3 months old male child who presented with SH and ipsilateral undescended testis along with all the features of this new syndrome.A 3-month-old male baby was admitted with a swelling on the right side of abdomen and absence of testis on the same side. The swelling increased in size on crying. The swelling occupied right lower quadrant of the abdomen and was non-tender. On genital examination, the left testis was normally descended and right one was impalpable in scrotal pouch and inguinal area . Ultrasonography of the swelling revealed an echogenic tissue consistent with testis in the layers of abdominal wall along with small gut loops echoes. At operation a defect found on the lateral border of rectus abdominis muscle around the arcuate line with a hernial sac containing testis without any inguinal canal and gubernaculum .The sac was opened and the testis was separated from the sac. The defect in the abdominal wall was repaired by absorbable sutures and testis placed in the right sub-dartos pouch by placing the cord structures anterior to the external oblique muscle (subcutaneous route). In the post operative period child remained well and discharged home after 3 days.Cryptorchidism in children presenting with SH is considered to be a congenital condition. There has been considerable speculation and controversy regarding the possible mechanism of cryptorchidism in SH. According to the general viewpoint, SH is the primary defect and the undescended testis takes the path of least resistance to descend and lie in the hernial sac accounting for this association. Raveenthiran speculated an ectopic location of the testis is the primary abnormality, and it leads to formation of SH by dragging a peritoneal sac along with it.[7] Rushfeldt et al believed in failure of development of gubernaculum as an inciting event; [2] thus inguinal canal could not develop and the testis remain in their intra-abdominal position.Ultrasonography helps in assessing the size of the defect and contents of the hernia sac. The management of this anomaly includes repair of the hernia and scrotal placement of the undescended testis. While undertaking surgical repair of SH, one should look for an undescended testis, and expect it to be in the hernia sac. Furthermore, since an inguinal canal may not be found, one should be prepared to perform an orchidopexy either via a subcutaneous route or a new internal ring may be created through the abdominal wall medial to the inferior epigastric vessels and just lateral to the pubic tubercle.[4] However one should be careful in orchidopexy by creating neo internal ring as testicular atrophy has been reported in one patient.[4] The possible reported explanations for such an outcome include vascular damage, tension and compression of the cord and scrotal infection.Source of Support: NilConflict of Interest: None declared"}
+{"text": "We build a model of cuttlefish chromatophore excitation patterns due to environmental input. Specific inputs generate scripted chromtophore pattern responses on the surface of the skin. More complicated responses are then assembled from these templates as sequences of inputs arrive. We build a simplistic cuttlefish brain using neural architecture modeling tools written in MatLab which allow us to construct the brain model from individual modules using a vector addressing scheme Figure .Inputs come into the sensory input module and are processed by the cuttlefish brain architecture into signals sent to the output module. The signals activate the individual chromatophores in the usual way giving an essentially binary on/ off pixel response. Different cues in the environment are mapped to known cuttlefish pigmentation overlays on the surface of the skin. Individual simple cues result in coarse patterns of chromotophore activation and upon receiving a sequence of simple cues, more complicated responses are constructed in a hierarchical fashion .The chromatophore visibility is known to be due to a brain signal which when received energizes a ring of muscle which contracts and pushes a dot of ink up to the surface of the skin. Hence, activation signals lead to visible dots and lack of activation signal can be inferred from the loss of the pigment dot. Our model therefore treats each chromatophore as a binary switch which moves from 1 to 0 or vice versa depending on the signal sent to the output module from our cuttlefish brain processing ,4."}
+{"text": "The percentage of sports and leisure shoes sold worldwide is gradually increasing. However, consumers have little or no objective information on the mechanical properties of the shoes. A justified selection protocol of sports and leisure shoes based on static and dynamic shoe properties considering the intended use is essential. Today, commonly accepted dynamic test protocols for (sports) shoes do not exist.The development of an artificial parametric foot as part of an innovative robot gait simulator is a tool to objectify shoe properties independently from possible compensations encountered during assessment of test persons. This contribution discusses the development of an artificial foot enabling objective testing of the mechanical and functional properties of sports and leisure shoes.An artificial foot consisting of the shank, the rear foot, the mid foot and the toes was designed based on a measurement protocol for barefoot running using 12 active markers sampled at 400 Hz [Based on measurements the design of this initial foot was optimized with respect to functionality and appropriate shoe fit. The multi segment design of this foot is shown in figure An improved artificial foot design with built-in springs and dampers for objective testing of shoe properties is realized. The design needs further elaboration with respect to geometry, foot axes and functional behaviour. This mechanical foot is a promising tool to help us understand mechanical properties of shoes using strictly standardised testing protocols using mechanical gait simulators."}
+{"text": "In October 2011 the Mater Child and Youth Mental Health Inpatient Unit developed and implemented the Mater CYMHS Program for the Management of Eating Disorders (the protocols). The protocols were developed to improve admission and discharge pathways for young people with restrictive eating disorders as well as to improve consistency and efficacy of inpatient treatment which supports various outpatient models of care. Currently there exists little evidence for best practice treatment of restrictive eating disorders in children and adolescents on a psychiatric inpatient unit. This presentation aims to fill in the gaps in the existing literature by presenting outcome data for young people treated under the protocols. These outcomes will then be compared with those patients who received \"treatment as usual\" prior to the implementation of the protocols. Furthermore, we will present data examining staff perceptions of patient care of those with restrictive eating disorders both before and after the protocols were introduced.Care in Inpatient and Community Settings stream of the 2013 ANZAED Conference.This abstract was presented in the"}
+{"text": "NaP) and an A type potassium current (IA), in combination with the passive properties [Mesencephalic trigeminal (MesV) cells are sensory neurons involved in the brainstem circuitry that generates and controls orofacial activities . Recentloperties . These cNaP and IA currents), is the waveform of the action potentials of these cells characterized by its high amplitude and short duration, with almost no after hyperpolarization and small interspike intervals. Despite the fact that those subthreshold mechanisms have been thoroughly studied [In an attempt to generate a model of a network of electrically coupled MesV neurons that reproduce these behaviors, as critical as the subthreshold active mechanisms responsible for the frequency selectivity of these contacts , that wa"}
+{"text": "There is a growing body of literature examining the utility of behavioral treatment in primary progressive aphasia (PPA). There are, however, no studies exploring treatment approaches to improve speech production in individuals with apraxia of speech (AOS) associated with the nonfluent variant of PPA. The purpose of this study was to examine a novel approach to treatment of AOS in nonfluent PPA. We implemented a treatment method using structured oral reading as a tool for improving production of multisyllabic words in an individual with mild AOS and nonfluent variant PPA. Our participant showed a reduction in speech errors during reading of novel text that was maintained at one year post-treatment. Generalization of improved speech production was observed on repetition of words and sentences and the participant showed stability of speech production over time in connected speech. Results suggest that oral reading treatment may offer an efficient and effective means of addressing multisyllabic word production in AOS associated with nonfluent PPA, with lasting and generalized treatment effects."}
+{"text": "Radiation oncology practice is a collaborative effort that involves multiple clinical and technical specialists including physicians, medical physicists, dosimetrists, radiation therapy technologists, and nurses. The safe and efficient delivery of radiation therapy was never a simple matter and is now exceedingly complex.The growing complexity of radiation oncology procedures has been identified as a significant risk factor in potentially causing patient treatment errors. National and international standards have evolved to guide the safe and effective use of ionizing radiation for treatment and have been codified by leading professional organizations into accreditation requirements that necessitate rigorous documentation of performance for each aspect of the process of care. The process of care in radiation oncology refers to a conceptual framework for guaranteeing the appropriateness, quality, and safety of all patients treated with radiation for cancer and certain benign conditions.A primary objective of a Comprehensive Radiation Oncology Quality and Safety Program is the design and clinical implementation of approaches that will minimize the incidence of radiotherapy adverse events that could potentially have negative impacts on the quality of patient care.The papers in this Research Topic address multiple issues that should be considered to ensure managing the process of care with approaches that will ensure the optimal delivery of radiation therapy."}
+{"text": "Plant cell walls display a considerable degree of diversity in their compositions and molecular architectures. In some cases the functional significance of a particular cell wall type appears to be easy to discern: secondary cells walls are often reinforced with lignin that provides durability; the thin cell walls of pollen tubes have particular compositions that enable their tip growth; lupin seed cell walls are characteristically thickened with galactan used as a storage polysaccharide. However, more frequently the evolutionary mechanisms and selection pressures that underpin cell wall diversity and evolution are unclear. For diverse green plants (chlorophytes and streptophytes) the rapidly increasing availability of transcriptome and genome data sets, the development of methods for cell wall analyses which require less material for analysis, and expansion of molecular probe sets, are providing new insights into the diversity and occurrence of cell wall polysaccharides and associated biosynthetic genes. Such research is important for refining our understanding of some of the fundamental processes that enabled plants to colonize land and to subsequently radiate so comprehensively. The study of cell wall structural diversity is also an important aspect of the industrial utilization of global polysaccharide bio-resources. The first level consists of primary screens for cell wall polysaccharides based on carbohydrate microarrays probed with mAbs and CBMs using microarray-based polysaccharide screening and lichenase treatments and also having diverged prior to the gene duplication events associated with the evolution of flowering plants, cautions us not to generalize this principle excessively. The second reason why the number of GTs cannot be inferred from the number of different linkages is that the biosynthesis of some polysaccharides has turned out to be much more complicated than anticipated from the polysaccharide structure; xylan biosynthesis, reviewed by Box 1. The CAZy database is the most extensive database of GTs and contains GTs from all three kingdoms. By using a global approach including the whole CAZy database in the screen, more remote orthologies can be discovered, exemplified by the discovery of a mannosylglycerate synthase of GT78 in S. moellendorffii of enzymes that degrade, modify, or create glycosidic bonds genes as encoding putative extensin arabinosyl transferases. This annotation is not proven but was corroborated by Arabidopsis . A number of EST datasets ? Is this to be a paradigm for non-cellulosic wall polymers for which we currently have one or a limited number of probes such as pectic galactan and xyloglucan? The next few years will see more detailed systematic assessments of molecular architectures. This will be in conjunction with enzymatic and/or chemical pre-treatments that are in some cases required to optimize polysaccharide detection and in the case of polysaccharide masking (in which one polymer class blocks access to another polymer class) indicates important features of cell wall architectures reflecting protein access the absence of pectic galactan from pit fields, we do not have a good understanding of the cellular distributions of all polymers for most plant cell types. Even for ectic HG and alsoectic HG where a renchyma . What isn access .Figure 2? How are these heterogeneities integrated into a functional whole in terms of wall properties and functions? In vitro analyses of composites formed from cellulose, pectins, and xyloglucans have yielded invaluable information about the properties of some wall components (in vitro approach cannot reasonably be applied to investigate the functional properties of the full diversity of extant walls. In vivo methods of investigating wall biomechanics, at the tissue and lower levels, have been developed (in situ analyses are combined with genetic and enzymatic interventions. Integrating this knowledge will be a major challenge and is an exciting frontier for cell wall biology.Clearly we face many challenges in understanding cell wall evolution not least of which include sufficient sampling followed by appropriate synthesis and interpretation of large data sets including diverse information such as gene and protein sequence data as well as sugar linkages and epitope distributions. However, as cell and tissue molecular architectures are documented another major issue that is brought into focus is the function of individual wall components and of the entire cell walls, which can vary enormously with respect to quantitative and qualitative composition. Why do some cell walls have xyloglucan, xylan, and mannan hemicelluloses in distinct spatial distributions as for example in the extensively studied tobacco stem system as shown in mponents . Howevereveloped facilitaThe authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Populus tremulae) at the transcript level we inoculated clones of this species with a foliar rust on the leaves and a necrotroph in the bark. Leaf samples were collected from above the inoculation site to examine the long distance (systemic) defense responses and bark tissue around the site of inoculation examined for the local response as early as day1 post treatments. We performed microarray experiments on the biotrophic and necrotrophic interaction and between healthy controls of two SwAsp clones. Selected candidate genes were also examined in more detail by qRT-PCR and chemical analysis for phenols and tannins was also performed. We found that the two clones respond in a very different in fashion at the transcriptional level to both the biotrophic and necrotrophic pathogen. The more resistant clone responded systemically within 24 hours while little response at the transcriptional level was detected in the more susceptible clone in response to the biotroph, while indications of suppression in response to the necrotroph was found.Trees are exposed to a variety of pathogenic fungi. The defense response toward a biotroph may require a different strategy that toward a necrotroph. To understand the key processes of defense responses toward pathogenic fungi in aspen ("}
+{"text": "The inference of reaction rate parameters in biochemical network models from time series concentration data is a central task in computational systems biology. Under the assumption of well mixed conditions the network dynamics are typically described by the chemical master equation, the Fokker Planck equation, the linear noise approximation or the macroscopic rate equation. The inverse problem of estimating the parameters of the underlying network model can be approached in deterministic and stochastic ways, and available methods often compare individual or mean concentration traces obtained from experiments with theoretical model predictions when maximizing likelihoods, minimizing regularized least squares functionals, approximating posterior distributions or sequentially processing the data. In this article we assume that the biological reaction network can be observed at least partially and repeatedly over time such that sample moments of species molecule numbers for various time points can be calculated from the data. Based on the chemical master equation we furthermore derive closed systems of parameter dependent nonlinear ordinary differential equations that predict the time evolution of the statistical moments. For inferring the reaction rate parameters we suggest to not only compare the sample mean with the theoretical mean prediction but also to take the residual of higher order moments explicitly into account. Cost functions that involve residuals of higher order moments may form landscapes in the parameter space that have more pronounced curvatures at the minimizer and hence may weaken or even overcome parameter sloppiness and uncertainty. As a consequence both deterministic and stochastic parameter inference algorithms may be improved with respect to accuracy and efficiency. We demonstrate the potential of moment fitting for parameter inference by means of illustrative stochastic biological models from the literature and address topics for future research. The traditional approach to modelling of biological reaction networks is based on deterministic mass action kinetics in which the time course of the species concentrations averaged over the population is described by a set of coupled ordinary differential equations Parameter estimation in differential equation models is a classic nonlinear inverse problem that arises in a variety of scientific, industrial and financial applications and is approached both in deterministic and statistical ways for a multivariate normal distribution or a weighted sum of squared residualsfit higher sample moments derived from time series data, e.g., by computing the distance between the sample variance see In this paper we present a moment fitting approach to parameter inference in stochastic biological models from time series data that to the best of our knowledge has not been studied before. First, we suppose that the state variable vector of molecule numbers can be partially - both with respect to time and state variable components - and repeatedly, say that describe the time evolution of parameter dependent moment approximations We studied the concept of moment fitting for parameter inference in stochastic biological models from time series data by means of three reference examples, see Materials and Methods for all model details, and chose The Kolmogorov differential and implies the ODE systemfor the mean For the purpose of data generation we have simulated the true stochastic process In order to infer the rate parameters for a comparison of the sample mean with the analytic mean expression (2). Choosing the initial parameter guess The problem of non-identifiability is overcome if not only the first moment but also the second central moment is fitted to the available data, e.g., by minimizing the cost functionAgain starting from In a further test, we utilized the likelihood functiondoes not involve the error between which compares as priors for the parameters, the algorithm failed to yield acceptable marginal posterior density distributions due to the ignorance of the sample variance Based on the Fokker Planck the normal moment closure technique yields the nonlinear ODE systemfor the (approximative) mean We first only focused on the sample mean data by means of the MATLAB The linear noise approximation (14) yields a nonlinear ODE system describing the temporal development of the mean approximation with the initial guess Our numerical tests by means of reference models from the literature show that comparing sample moments with theoretical moments may enhance parameter identifiability and the performance of parameter identification algorithms in comparison to mean-only approaches. These observations can be explained by an examination of the cost functions that have been used for the parameter inference. In the linear birth death example the mean expression (2) shows that any parameter combination of of (5) evaluated at For the dimerisation example the level sets of the cost function (7) are shown in Similar conclusions can be drawn from the by differentiation with respect to which corresponds to a reduction of the eigenvalue ratio Based on accepted mathematical descriptions of stochastic reaction networks in well-mixed conditions we have introduced the concept of moment fitting for parameter inference from time series data of repeated measurements. In numerical tests for simple reference examples we observed that if the common comparison of sample mean data with the parameter-dependent mean expression derived from the model is augmented by consideration of higher moments such as covariance, improvements both with respect to parameter estimate accuracy and algorithmic efficiency are achieved.Our approach offers opportunities for extension and further research. In case of larger models and real data, then also affected by external noise, measures against data instability and overfitting become necessary. The regularization theory of nonlinear inverse problems see In our examples we used squared errors to build the distance functions. This not only allowed us to numerically demonstrate the advantages of moment fitting but also to give explanations of the results in terms of Hessian matrices which in the squared error case can be computed in a straightforward manner. Furthermore, the squared error approach enables the straightforward utilization of the adjoint method, see Materials and Methods, for providing gradient information to the optimizer. Still, as moments of different order may be correlated but then poses severe challenges with respect to an efficient computational realization.The moment fitting approach presented in this paper rests upon the availability of sufficient data for the estimation of higher moments as only then more traditional mean-only approaches may be outperformed. This raises the question of selecting the sample size see In well-mixed conditions a network of where the integers Let With where An alternative approximative description of the stochastic process is given by the linear noise approximation into a deterministic part and a stochastic process with the increment Finally, the deterministic modelling approach which corresponds to (15) with the setting Depending on the chosen modelling approach the state variable of a stochastic biochemical reaction network is described as a discrete or a continuous random quantity. In the discrete case associated to the Kolmogorov differential where In general, the and the with In case the state space of the biological system is modelled as a continuous random variable Based on the differential see holds only then. Another example is the time evolution of the The simple example exact differential equations for their time evolution impossible to solve analytically or numerically. The problem may be overcome by the technique of moment closure and implies the dependency of the ordinary differential equation for approximatively describes the time evolution of the true moments in which As an alternative to the moment closure approach, a closed form (21) for the approximative description of the moment time course for Here, A classic and illustrative reaction system widely studied in the literature is the linear birth and death process with the associated stoichiometric matrix In all simulations of the discrete stochastic dynamics of the model we chose the rate parameters With respect to the parameter inference problem we suppose that the state variablecan be only partially observed at the obtained from an equidistant discretization of the time interval such that the partial state observation can be compactly described as A simple reaction system featuring a nonlinear rate function is the dimerisation process The conservation of the total number allows to formulate the stoichiometric matrix for a one-dimensional state space. In all simulations of the discrete stochastic dynamics of the model we chose the rate parameters For testing the practicability of our approach in case of partial state observations we have chosen a model for the In all simulations of the discrete stochastic dynamics of the model we chose the rate parameters andThe time observation parameters were chosen as All molecular copy numbers used in our tests have been generated by MATLAB A of data matrices. For each discrete time point while the empirical covariance matrix of the observables at time in which of length with sample mean vector If we split the state variable Then, in order to compare the parameter dependent solution component may be utilized where the time discretization operator Examples for where, in general, With respect to parameter inference the difference function (26) can be utilized in various manners. For instance, it can be minimized by deterministic or stochastic optimization routines, it can be incorporated as a cost function in approximate Bayesian methods or used in building Kalman filters or Luenberger type observers. In the context of gradient based optimization, the gradient information can be efficiently provided by means of the so-called adjoint technique whenever Supporting Information S1Moment Equations for Test Models.(PDF)Click here for additional data file.Supporting Information S2Adjoint Method for Gradient based Optimization.(PDF)Click here for additional data file."}
+{"text": "Prediction and competition mechanisms are here combined into a neuro-inspired computational model in order to enhance robustness for spatiotemporal tracking and pattern recognition tasks. The research presented in this abstract extends the initial experimental results and mathematical accuracy proof obtained with a single predictor to a setThe performance and emergent attentional properties of the model were ascertained on a 2D visual tracking application with ambiguous and noisy signals. Results are synthesized in Table While the predictors improve tracking performance when they adequately anticipate the dynamics, their inadequacy simply leads to a fall back on the original CNFT dynamics. This allows the system to perform correctly while learning the predictors, but also to discriminate between trajectories, as the relative level of assimilation of the dynamics is updated in real-time."}
+{"text": "Patient diaries have the potential to support food allergy diagnosis. The time relationship between the consumed product and the experienced symptoms is of high value for diagnostics as well as for therapy control. The combination of a barcode reading handheld device and a dedicated electronic patient record is a unique method to support the diagnostic process.A Smartphone based Personal Allergy Assistant (PAA) allows patients to keep an electronic patient diary by scanning the barcode of the consumed food products. A catalogue of predefined symptoms as well as their medically justifiable time window during which a symptom can manifest itself after the ingestion has been defined. An Electronic Patient Record for Allergies (EPRA) stores results from patient investigations with allergy specific medical knowledge, provided by allergy experts . Data on the PAA is regularly synchronised with the electronic patient record and the food database. Diaries are evaluated by emphasising the association between food intake and occurred symptoms in order to calculate the relative risk (RR) of a specific food product or nutrition.The PAA provides patients with an easy to use device to create high quality diaries for food intake and symptoms by scanning the food package's EAN barcode. It sets automatic timestamps to reduce potential data tampering and increase the data quality and allows recording of food intakes from non-packaged food as well as pharmaceuticals. For diagnostic purpose, the diary is regularly transmitted to the allergist's electronic patient record. Diaries are evaluated automatically providing measurement categories that are commonly used in medicine. To support the individual diet management, the PAA gives a warning before the consumption of allergenic food.During a pilot study with 35 participants the feasibility and patient acceptance has been proven. Information and Communication Technology has the potential to simplify the interdisciplinary exchange of patient information between patients and medical experts."}
+{"text": "Randomised control clinical trials of acupuncture have been hampered by the challenges of assessing it as a complex intervention. Controlling for and separating placebo effects whilst identifying its efficacy as a treatment can be difficult . The comThe objective of this pilot trial is to investigate the feasibility of undertaking a novel randomised cohort design study with a nested factorial RCT, investigating acupuncture alone versus manual therapy alone versus a combination of acupuncture and manual therapy versus usual care.The pilot will investigate recruitment rates to allow for planning a full-scale trial, identify any compliance issues and strategies for reducing these in a full-scale trial and assess patient\u2019s acceptance and therapist delivery of combined therapies for the treatment of their LBP.The study will follow a randomised cohort trial design and participants from the cohort will be selected to participate in the pilot trial. The use of this design as a recruitment method for nested trials is relatively new methodology but the cohort design has been suggested as an effective method for the use with chronic conditions and its The factorial pilot RCT will investigate the treatment of low back pain with Acupuncture vs Manual Therapy vs Acupuncture and manual therapy vs Usual GP care. All interventions will be delivered by a chartered physiotherapist.Recruitment and retention rates will be presented. The acceptability and feasibility of the design for use with complex interventions and in a common musculoskeletal condition will be discussed."}
+{"text": "The purpose is to introduce the Lebanese Society for Infectious Diseases and Clinical Microbiology (LSIDCM).The Society was established in 1992.It includes 46 infectious diseases physicians as well as clinical microbiologists. The members are spread across the country. All physicians are involved in managing infection control programs in their respective hospitals. So far the Society has organized twelve national and regional congresses on infectious diseases and clinical microbiology. Over the last 4 years, a yearly course on infection control is offered during each congress and many national and international speakers are involved.The LSIDCM is currently working on developing national guidelines for the management and control of infectious diseases, national antibiotic usage monitoring, monitoring of antibiotic resistance on a national background and the establishment of a national registry of health care associated infections.None declared."}
+{"text": "Fracture healing is a biological process in continuum from fracture to healed stage. It involves a sequence of dynamic events which ultimately restores the integrity of the bone and its biomechanical properties.The severity of damage to the physical environment at the fracture site as a result of injury affects the biological potential for healing. The magnitude of injury decides the insult occurring at the fracture site. The disruption of soft tissues and network of vascular channels makes the bone ends devoid of circulation to a variable length. The more is the force of impact and disruption to the tissues the more is the devascularization. The repair process starts with demineralization of devitalised bone ends and subsequent revascularization. The pleuripotent cells get converted into cartilage cells and later osteoblasts to make a new bone on the scaffold of the devitalised bone and thus finally a woven bone is laid down which in due course gets trabeculated. The fracture ends first get temporarily stabilized by organized fracture hematoma, cuff of fibrocartilage followed by woven bone. The woven bone is seen as fracture callus which continues to remodel for many years. This in short is described as secondary fracture healing which occurs in the majority of fractures. The primary bone healing occurs where there is a rigid internal fixation. This consists of cutting cones traversing through the devitalised bones which progress across the fracture site directly in a similar way to normal bone remodeling.The process of healing is a very slow process occurring at cellular levels hence the need to provide a temporary stability by plaster cast for a certain length of time which allows the cascade of events of fracture healing to take place unabated. The normal cascade of events is modified by open injuries, surgical intervention and instability at the fracture site. The length of immobility by plaster cast adds the effects of immobility such as stiffness of joints, secondary to fibrosis in the injured muscles and ligaments hence an exercise regimen is indicated till such time normal joint motions are regained. The stability at the fracture site is of paramount importance. The motion at fracture site within a permissible range (micromotion) stimulates the fracture healing potential while beyond a certain level retards the healing process. The rigid immobilization of fracture is considered unphysiological and micromotion occurring secondary to functional activities encourages osteogenesisThe objective of fracture care is to allow the biological process of healing to occur at a normal pace with minimal hindrance and damage to the injured limb. Since some of the fractures are not aligned by closed manipulation they are treated by open reduction and internal fixation by implants. The surgery has its impact on the natural cascade of fracture healing. The fractures ends are exposed surgically, manipulated and aligned anatomically and internally fixed (stabilized) by intramedullary or extramedullary implants. All this require exposure of bone to certain length and disrupts normal soft tissue with results and disruption of already damaged blood supply. The biological efforts needed for fracture healing are going to be more extensive than healing in a closed fracture. The healing process becomes further complicated when internal fixation fails to achieve relative stability at the fracture site or wide exposure leads to lifting of periosteum and consequent damage to its cambium layer or the fracture fragments are stabilized at the fracture site with a gap of 2 mm or more.The ideal objective of surgical treatment should be to achieve a better outcome than nonoperative treatment. The outcome of surgical treatment are going to be worse if surgery is not executed perfectly as prescribed by the surgical principles of fracture fixation technique. The open reduction and internal fixation (ORIF) in a closed fracture increases the risk of infection and consequent retardation of fracture healing. A good outcome following ORIF of fractures can only be achieved when the fracture is anatomically reduced, stably fixed, and there is no risk of infection, to allow early postoperative mobilization. When an implant is inserted a race starts between fracture healing and implant failure. In a successful osteosynthesis the fracture unites first before implant fails. The implant has to survive till the biological process of healing is over. The concept of minimal access or least invasive skeletal stabilization is being suggested to minimize the surgical insult to the fracture milieu during internal fixation.The bad results of ORIF are worse than the worst results of closed reduction. Multiple variables influencing sound osteosynthesis by surgical means include the nutritional state of patient (soil), severity of trauma, complexity of fracture configuration, choice of treatment method, ORIF or closed reduction and internal fixation, quality of instrumentations and implants available, quality of operating room and level of surgical training. If everything is good one can choose any method of treatment. However, if anything is wanting than the surgical treatment of fractures gives bad results than those of conservative treatment.On a review of the literature we encounter variable conclusions on a clinical problems from different studies and thus a controversy is created. The possible reason for the controversy is dissimilar variables considered for sound and successful fracture outcome. The clinical results are comparable and predictable if identical outcomes are reported by various studies. The evidence based guidelines are relevant when the conclusions drawn from a particular setup are implemented in identical clinical settings. This becomes particularly more relevant when conclusions drawn in a developed country are considered in a primary health centre of a developing country disregarding infrastructure, quality of instrumentation and implants and level of surgical training available at that centre, hence the outcomes of fracture management are different. By the time these differences in infrastructure are understood lots of complications are produced and reported. More nonunions and infected nonunions are being reported because various fractures are operated for relative indications in suboptimal theatre conditions with poor quality instrumentations and implants and surgical principles are not adhered to. Hence it is imperative to talk about rational treatment. It is justified to treat a simple closed fracture tibial by interlocked nailing on the pretext of early weight bearing when it is guaranteed that it would not produce any risk of infection. Even if there is a 1% risk of infection (100% for that poor patient) then closed reduction and functional treatment outweigh the surgical treatment. We should read and use the published literature keeping all variables in mind. The rational treatment of fractures is selection of a particular modality of treatment keeping in mind all variables to achieve a predictable and consistent outcome of fracture treatment. Grahm Apley once wrote \u201cthe indication for fixation are not immutable; this if the surgical skills or backup facilities are of low order; internal fixation is indicated only when the alternatives are unacceptable . With average skills and facilities, fixation is indicated when alternative methods are possible but are very difficult or unwise (eg. multiple injuries) and with the highest levels of skills and facilities, fixation is reasonable if it saves time, money or bed\u201d.4We at Indian Journal of Orthopaedics attempt to appraise the readership with the best available evidence on controversies of fracture management. We provide guidelines5"}
+{"text": "The study team were advised by the independent oversight committees to stop recruitment to the trial and the delivery of the trial therapy due to a difference in the number of reported hospitalisations between the treatment and control group.There was a lack of guidance on how to proceed with implementation of the changes in a trial of this type and little precedent for cessation of trial treatment in a psychotherapy trial following a safety alert. Furthermore, there were concerns over the potential for distress and disruption to participants and clinical teams as a result of the trial changes and the potential risks of discontinuing treatment prematurely.A collaborative approach to the development of the process and supporting documents was adopted, with attention given to the impact on participants and clinical teams. The changes were implemented as an urgent safety measure.The following were developed:\u2022 Written process for implementation.\u2022 Written information for participants, potential participants and clinical teams.\u2022 Guidance documents for sites.\u2022 Arrangements for local and national telephone helplines.\u2022 Media response.The following key features were intended to reduce the impact on participants and clinical teams:\u2022 Prompt, but careful action.\u2022 Staged, allowing adequate time to inform and support participants and clinical teams, and ensuring feedback received could inform further development.\u2022 Clinically appropriate, with reference to national guidelines and accepted good practice.\u2022 Honest, concise and consistent information given to all concerned and follow-up support offered as appropriate.\u2022 Regular review and reflection."}
+{"text": "New advances in medicine often raise challenges, and none more so than those involving the manipulation of human oocytes and embryos. Issues around clinical need and ethical considerations must be taken into account, as well as the safety of the proposed technique. The discussion around the proposed mitochondrial replacement techniques to prevent the transmission of mitochondrial DNA disease has perhaps raised more challenges than most Mitochondrial DNA diseases are both common and, in their severest forms, devastating In the United Kingdom, the Human Fertilisation and Embryology Authority (HFEA) recently considered the safety issues after extensive expert and public consultation The authors raise an interesting evolutionary argument that the human mitochondrial genome co-evolves with the nuclear genome in females, raising the possibility of a conflict with the paternal nuclear genome. They suggest Leber's hereditary optic neuropathy (LHON) and male infertility could be potential examples of this in humans The studies in macaques are also highly relevant to the risks proposed in humans associated with mitochondrial replacement. There are now multiple reports of the health status of the offspring born after mitochondrial replacement, and all have shown no difference between these offspring and controls Some studies in laboratory mice have proposed a nuclear DNA\u2013mitochondrial DNA interaction, but there are others that have reported no defect despite the use of very divergent genomes Whilst we accept that any new technique is associated with risk, we think the lack of any reliable evidence of mitochondrial-nuclear interaction as a cause of disease in human outbred populations provides the necessary reassurance to proceed. The recent studies in macaques after mitochondrial replacement are also supportive that the possible harmful interactions are unlikely to occur in man"}
+{"text": "Clostridium difficile infection (CDI) and development of national prescribing indicators to support reduction of CDI.The Scottish Antimicrobial Prescribing Group (SAPG) was established by the Scottish Government in 2008 to lead the first national initiative to actively address antimicrobial stewardship. Healthcare associated infection (HAI) is a priority in Scotland and the work of SAPG contributes to the national HAI Delivery Plan. SAPG's early work has focused on restricting the use of antibiotics associated with a high risk of Scottish Antimicrobial Prescribing Group has developed prescribing indicators for hospital and primary care, which are measured and reported in all 14 NHS board areas. Improvement in compliance with the indicators has been demonstrated with resultant reductions in CDI rates and no adverse effect on mortality or antimicrobial resistance patterns.The establishment of a Scottish national antimicrobial stewardship programme has made a significant contribution to the HAI agenda, particularly in relation to CDI. The programme is supported by local antimicrobial teams, a national framework for education, surveillance of antimicrobial use and resistance and sharing of data for improvement. Antimicrobial stewardship has been integrated with other national programmes on patient safety and quality improvement. The Scottish Antimicrobial Prescribing Group (SAPG) was formSAPG was established to lead the first national initiative to actively address antimicrobial stewardship. Collaboration with key stakeholders at national level and development of local (NHS board level) leadership through Antimicrobial Management Teams has been essential to develop national consensus and implement key stewardship interventions. This has been combined with the development of national and local systems and a framework for collecting and disseminating data on antibiotic prescribing and resistance surveillance and a framework for educational material to support the healthcare professionals in the workplace.Clostridium difficile infection (CDI) is a key objective for NHS Scotland and in 2009 a target was set for all NHS boards to reduce their rate by 30% (later increased to 50%) in patients over 65 years. Much of the focus of SAPG's early work has therefore been to reduce the use of antibiotics associated with a high risk of CDI across hospital and primary care settings. SAPG developed national prescribing indicators based on compliance with local antibiotic policies to support reduction of CDI:Healthcare associated infection (HAI) is a priority for the Scottish Government and the work of SAPG contributes to the national HAI Delivery Plan. Reduction of Indication for treatment recorded in the patient medical record and antibiotic choice is compliant with the local Antimicrobial Prescribing Policy - target \u2265 95%Seasonal variation in quinolone use, consumption of quinolones in winter months is \u2264 5% greater than consumption in summer months.National surveillance data confirm that there has been a progressive reduction in CDI throughout Scotland and that all NHS boards have exceeded the original target of 30% reduction. The national rate has fallen from 1.5 to 0.32 cases per 1000 acute occupied bed days [National results for the hospital and primary care CDI prescribing indicators are shown in Additional file There is a temporal association between this reduction and the introduction of restrictive antimicrobial policies in line with SAPG guidance. The true impact of this intervention is being evaluated using a time series analysis and results from one region (NHS Tayside) show a reduction in total CDI post-intervention of 54% in Medicine and 50% in Surgery [E. coli. Aminoglycoside-related toxicity is also being prospectively evaluated.National surveillance of antimicrobial resistance shows no significant increases in resistance to key Gram-negative organisms and reduced resistance to third generation cephalosporins in Crude 30-day all-cause mortality (from admission) was analysed for both NHS Tayside cohorts. No change was observed following the introduction of the restricted antibiotic policy. Subgroup analysis by age and Charlson Co-morbidity Index score showed no changes in mortality following the introduction of the policy. Further analysis using adjusted 30-day mortality in patients who have had blood cultures taken as an outcome indicator for sepsis management and antibiotic stewardship interventions is also being undertaken.The establishment of a Scottish National Antimicrobial Stewardship Programme has made a significant contribution to the HAI agenda, particularly in relation to CDI . ProvidiThe authors declare that they have no competing interests.All authors are members of the Scottish Antimicrobial Prescribing Group (SAPG). DN has been chair of SAPG since 2008 and JS has been Project Lead for SAPG since 2008. DN and JS have made substantial contributions to the conception and design of the SAPG work programme including development of the prescribing indicators to support reduction of CDI. AP is responsible for developing and maintaining the data management system for measuring and reporting the hospital prescribing indicators and for performing the analysis of data from NHS Tayside to confirm the impact of changes in antimicrobial use on CDI and mortality. WM made a significant contribution to development of the primary care prescribing indicator and is responsible for evaluation and reporting of the data for this indicator. All authors have read and approved the final manuscript.DN is Chair of SAPG and is a Consultant Physician in Infectious Diseases and Honorary Professor of Infection, Ninewells Hospital and Medical School, Dundee, UKJS is Project Lead for SAPG and has a hospital pharmacy background with a PhD in medicinal chemistry and an MSc in Clinical Pharmacy.AP is an Information Analyst with an MSc in Applied Statistics.WM is Pharmaceutical Adviser at Health Protection Scotland and has a background in pharmaceutical public health and primary care pharmacy.Table S1 Compliance with empirical prescribing in Medical Admission Units April - June 2011. Summary of data for national prescribing indicator for empirical prescribing in hospital.Click here for fileFigure S1 Primary care seasonal variation of quinolone use by NHS board 2008-2011. Annual data for national prescribing indicator for primary care.Click here for file"}
+{"text": "It has long been known that myeloid derived suppressor cells (MDSCs) inhibit the anti-tumor immune response. And recently a relationship between MDSC levels and patient outcomes to cancer immunotherapy was discovered. Studies conducted at the Memorial Sloan Kettering Cancer Center in New York showed that patients with reduced levels of circulating MDSCs were more likely to respond favorably to Ipilimumab, an immunotherapy approved for the treatment of melanoma. This raises the exciting prospect that baseline levels of MDSCs may help drug developers and physicians identify or select those patients who are most likely to benefit from immune-based cancer treatments. However the development of a robust and commercially available MDSC biomarker assay presents many challenges, from sample handling and logistics to an objective and reproducible definition of this elusive cell type. Here we present data from our MDSC assay development program and discuss the merits of applying this assay to biomarker studies as part of the clinical development of novel cancer therapies."}
+{"text": "The thesis examined three different research questions to help build a knowledge base for future intervention strategies by better understanding the reasons behind smoking among pregnant women in Nunavut. The first study focused more at the individual level and investigates clinical and socio-economic factors and their relationship to the readiness to quit smoking. The second article moved beyond the individual level to the broader social and structural environment to identify a broader range of barriers and facilitators to smoking and smoking cessation among Inuit women. This second article draws upon in-depth interviews focusing on perceptions of smoking, and perceived barriers and facilitators of smoking behaviours. Finally, the third article investigated the perspectives of health care providers regarding the barriers and facilitators of smoking cessation for pregnant women in the Baffin Region of Nunavut and describes perceptions of smoking cessation resources available to health care providers in the this Region. It is hoped that the findings from this thesis will help generate a knowledge base that can more appropriately address the smoking cessation needs of Inuit pregnant women."}
+{"text": "The Wirral Assistive Technology Programme (WAT) has operated across the whole population of the Borough for 3 years. It includes the installation of telecare technologies such as falls alerts and movement sensors to prolong users\u2019 independence and reduce use of secondary care. Qualitative evaluation of user and carer perspectives indicated a reduction in admissions as a result of the technology and we sought to demonstrate this at a population level.Secondary care episodes for A&E, admissions and outpatients were temporally analysed to identify changed trend in secondary care usage as a result of installation for 400 users. Primary diagnoses at point of secondary care engagement were categorised to discern those that might have been mediated by WAT from those likely to be incidental (e.g. infection). The nature of the WAT service made the identification of a control group challenging and it was necessary to try and establish the counterfactual of secondary care usage in an equivalent group of patients not engaged with WAT. We used Patients at Risk of Re-Hospitalisation (PARR) scores which are routinely assigned to every patient discharge in Wirral to identify an equivalent group of patients not engaged with WAT and compared trends of secondary care usage as above. Controls were selected on the basis of an equivalent PARR score to an AT user on the same date as that user\u2019s final discharge before installation of AT.A&E and inpatient episodes showed regression to the mean around the point of AT installation, both for AT-related and unrelated diagnoses . Outpatient episodes showed a stable trend. We found no evidence that AT installation reduced the average number of secondary care episodes per patient, reduced the average PARR score or reduced the average length of hospital stay in comparison to controls.Although conceptually and qualitatively WAT should be impacting secondary care episodes, we could find no evidence of this. This has important implications for the way the programme is currently integrated with other local re-ablement schemes, how it is monitored and what incentives there are in the discharge system to promote its use. This paper will outline actions taken to embed the programme since the evaluation was completed (September 2011)."}
+{"text": "For the interventionalist, intracoronary thrombus remains an important marker for the presence of an acute coronary syndrome as well as a harbinger of potential complications during the percutaneous procedure. Acute complications include myocardial infarction either new and/or recurrent related to coronary embolization, slow coronary flow or acute closure and long term complications include sub acute and late stent thrombosis and possibly restenosis. Over the years, there have been several advances in the development of new and more potent antithrombotic and anticoagulant therapies as well as new interventional and pharmacologic approaches for dealing with intracoronary thrombus before, during and immediately after percutaneous intervention.The purpose of this symposium is at least three fold: 1. Define the pathophysiology of intracoronary thrombus and its relationship to acute and long term complications. 2. Describe the best antithrombotic and anticoagulant approaches in STEMI and NSTEMI. 3. Review the mechanical and pharmacological approaches available to the interventionalist for thrombus removal or/dissolution and/or treating its complications. All of these approaches and particularly for the antithrombotic and anticoagulant therapies must be balanced by the potential for side effects especially the possibility of increasing bleeding complications. I hope this symposium will provide you with important information as well as stimulate further investigation in this area."}
+{"text": "The second stage is currently being designed but will take the form of a RCT of probiotic vs. placebo administered alongside the antibiotic. These two studies are governed by separate laws and regulations in relation to mental capacity. PAAD stage 1 is covered by the Mental Capacity Act and, for those service users who lack capacity, personal consultees are able to give agreement to the service user\u2019s participation. PAAD stage 2 is covered by the Medicines for Human Use Regulations and consent is given by a personal legal representative or a professional legal representative of the participant. The PAAD study also presents novel challenges in relation to advanced consent. We propose to explore some of the ethical and practical challenges of conducting these studies (and others like it) within the care home setting using qualitative methods. Our purpose is to optimise the informed consent process in a vulnerable population in preparation for stage two of PAAD.The PAAD Study (Probiotics for Antibiotic Associated Diarrhoea in care homes) involves 2 stages. The first stage is a prospective 12 month observational study to collect data on the amount and type of antibiotic prescribed episodes of Antibiotic Associated Diarrhoea and Cc.difficile circulating within the care home.We are conducting focus groups with staff within the 9 care homes who are participating in PAAD stage 1. We are also conducting face-to-face interviews with service users who have capacity, with relatives of service users, and with GPs who provide primary care to the care homes. Focus group and interview schedules focus on issues such as: the merits and problems associated with a number of models of consent for both stage one and stage two of PAAD, views about the feasibility and acceptability of taking advance consent/assent for research trial procedures, and views about potentially raising concerns about the possibility of Data collection is in early stages, and we will have data analysed by Autumn 2011.We anticipate that our data will not only optimise the design of our informed consent process for stage 2 of PAAD, but will also provide generalisable insights to guide other studies which plan to conduct clinical trials amongst vulnerable populations within care home settings."}
+{"text": "We have developed Oligopaints along with a suite of scripts and documentation that will assist researchers with probe set design and allow our technology to be extended to any organism whose genome has been sequenced. Oligopaints robustly label chromosomes both in tissue culture cells and whole-mount tissue preparations and can be generated using standard molecular biology techniques and equipment at a price well below the cost of commercial FISH probes. The flexibility offered by our bioinformatic design platform has allowed us to perform complicated hybridizations, such as the simultaneous targeting of RNA and the genomic DNA flanking its site of transcription. Thus, we anticipate that Oligopaints will be a valuable tool for the study of nuclear architecture and the relationship between chromosome positioning and gene expression.Fluorescence gopaints , a PCR-b"}
+{"text": "The dynamics of synaptic plasticity and the encoding of spatial information have been extensively studied in the hippocampus. Yet few attempts have been made to investigate how the two combine to produce the most striking emergent function of this system, the cognitive map Toleman, .Here, Bush et al. present a neural network model describing how a cognitive map based on empirical findings from hippocampal electrophysiology could function in order to encode space and enable sequence learning. The model demonstrates how both functions could be accommodated within the same network architecture and using the same learning rule (Bush et al., The network employed by the authors is based on the recurrently connected CA3 region of the hippocampus, where individual \u201cplace cells\u201d fire maximally at specific locations within one, two, and three-dimensional space (O'Keefe and Dostrovsky, When the network experiences neural activity corresponding to a series of shuttle runs across a square arena, heteroassociative connections between activated place cells become potentiated, cells with overlapping place fields develop strong bidirectional connections and asymmetric connections between cells against the direction of motion become depressed. The elevated connectivity of the activated ensemble resembles the broad development of a \u201ccognitive map\u201d with bidirectional connections providing detailed information about the relative proximity of individual place fields. The firing patterns of cells with overlapping place fields satisfy the STDP rule and enable connections between such cells to become potentiated, as demonstrated in slices (Isaac et al., During simulated random exploration of an arena, a similar pattern of bidirectional connectivity develops between place cells encoding proximal place fields, with local asymmetric connections reflecting fragments of recent trajectories. Repeated traversals of a one dimensional route in a single direction through such a learned environment does not alter the gross structure of the map, but profoundly alters the connections of place cells that lie on the route. As before, connections following the direction of travel are significantly potentiated but those against it are depressed, suggesting information concerning recent trajectories can be embedded in the cognitive map.in vivo and in vitro data demonstrating the role of synaptic plasticity within the of development of the cognitive map and the encoding of episodic memory; it also prompts a number of predictions as to when and where plasticity may be induced during these processes (Sadowski et al., The model goes some way to supporting in vivo hippocampal recordings, where sequences of place cell activity are recapitulated during sleep or rest following behavior (Skaggs and McNaughton, One unexplored aspect of the paper relates to the \u201coffline\u201d dynamics of a network when such patterns of connectivity have been established. The phenomenon of place cell replay has been observed during in vivo and in vitro approach is necessary to test such predictions; recording from place cells during behavior and investigating the consequences of such activity on connectivity. In addition, robust empirical data regarding the influence of neuromodulators on STDP must be acquired in order to improve the physiological relevance of this promising model of plasticity and the cognitive map.Overall, the paper demonstrates how computational modeling can elegantly combine parallel strands of hippocampal electrophysiology and make defined predictions about how behavior might shape connectivity and therefore the function of neural networks. An integrated"}
+{"text": "I read with interest the study performed by Eizadi Mood et al. recently published in Critical Care Research and Practice . The autCan they provide more details on the types of the complications they meant and their correlation to the GCS and its components? Also, may they provide the rate of intubation in these two groups (with or without complications)? In other words, did they only intubate the complicated patients or was there any uncomplicated patient who was intubated from the beginning and developed complications afterwards ? Thanks"}
+{"text": "In September 2010, 9 months after empowerment of caring for patients with severe sepsis and septic shock and implementation of a cooperative sepsis management protocol between community hospitals and tertiary referral hospital in Phitsanulok, the Phitsanulok Co-operative Sepsis Management (PCSM) team announced the Saving 500 Lives Campaign. This campaign aimed to encourage the unity and importance of caring for patients with severe sepsis and septic shock.From October 2010 to September 2011, eight community hospitals and one tertiary referral hospital in Phitsanulok established and promoted a set of achievable goals and interventions for patients with severe sepsis and septic shock . The group of patients from community hospitals that can be admitted directly to the ICU from the emergency department using a sepsis fast-track protocol had the lowest mortality rate (19%).Setting a numeric goal using the 500 Lives Campaign was another way to support and empower the cooperation of sepsis care in Phitsanulok, Thailand."}
+{"text": "The poster is based on the in silico identification and analysis of the variation in the gene network related to the pancreatic cancer. Pancreatic cancer has been a major cause of death in Asia and European countries. This cancer is not easily detectable in its initial stages and at the later stages it becomes very hard to cure this disease. So the in-depth understanding of the variation in the genetic pathway of this disease is very important. We selected 5 candidate genes from various published journals which are involved in the pancreatic cancer pathway in generating their interaction network using Agilent literature search plugin in cytoscape. The organic layout of interaction revealed the cross interaction between these genes and the other neighbour genes. Merging the expression profile data of the pancreatic cancer to the parent network helped us in understanding the variation of the network in the diseased state. Using the merged profile network we found out the importance of the KRAS & CDKN2A gene interaction with other 21 neighbour genes among which PIK3CA and TP53 interactions were showing major variation on their expression pattern. This study reveals the importance of change in expression level of candidate genes in causing pancreatic cancer. The results obtained in our study will be very much useful in detecting the disease in its initial stages and in finding the cure."}
+{"text": "Scotland has one of the highest liver cirrhosis mortality rates in Western Europe. The Scottish government has invested in a range of policies to address this and the wider harms from alcohol, including a national programme on alcohol brief interventions (ABIs). The initial focus of this work was primary care, accident and emergency care, and antenatal care but it was expanded in 2012 to include ABIs delivered in wider settings and with populations such as social work service users and young people. This process evaluation aims to explore the feasibility and acceptability of ABIs delivered to young people and in social work settings. The study involves two phases: one that maps existing projects providing ABIs in these areas and examines barriers and facilitators to their delivery, and a second that explores case study projects in depth and develops proposals for a potential future outcome evaluation. Phase 1 of the study involved conducting 24 semi-structured interviews with 28 professionals from 12 projects providing ABIs in the wider settings of social work and young people's services between December 2012 and April 2013. Two field visit observations were also completed and documentation/data gathered from all projects, including numbers of clients and ABIs delivered where possible. A framework approach was used for coding and analysis of data. In addition to a detailed thematic analysis, 10 project case summaries were produced to retain the specificity of information about the diversity and similarities across the cases studied. Results from Phase 1 of the study will be presented and implications for policy and practice will be discussed."}
+{"text": "To study frequency and associated factors for care giving among elderly patients visiting a teaching hospital in Karachi, Pakistan.A cross sectional questionnaire-based study was conducted at the Community Health Centre (CHC), Aga Khan University Hospital (AKUH) Karachi, Pakistan from September to November 2009. All individuals, visiting the CHC and aged 65 years or above were interviewed after taking written informed consent.A total of 400 elderly completed the interview. Majority were females, 65\u201369 years age, More than half of the individuals ie: 227 (85%) had received Care Giver experience for assistance and among these 195(72%) had care provided by an immediate family member. A large proportion of them stated that their Care Givers managed to provide less than four hours in a day for care giving. Around 37% showed substantial improvement in their relationship with the care givers. About 70% of the respondents stated that the care provided by the Care Giver improved their quality of life.Elderly care is provided by majority of the family members resulting in increased satisfaction level, however small number still not satisfied due to unfulfilled need of these older people. This demands that efforts should be made to strengthen the family support by increasing awareness regarding elderly care and arranging support system by the government. Elderly population particularly aged 65 years and more contributes to 380 million people globally and by the year 2020, this population is projected to increase to more than 690 million This older population is vulnerable to various disabilities as a consequence of stroke, dementia, heart diseases and trauma According to Center for Disease Control (CDC), about 80% of older Americans are living with at least one chronic condition, and 50% with two Care Givers can either be formal (paid volunteers associated with a service system) or informal which includes family, friends, neighbors or trust members who provides unpaid care out of love, respect, obligation or friendship to a disabled person In accordance with accepted social and cultural norms in Pakistan, people prefer to live in an extended family system as it is cost effective and has many other advantages including availability of support for the elderly by the family members There is serious scarcity of formal Care Givers and also non availability of Trusts and social projects to provide care to the elderly people in Pakistan, we designed this study to assess the problems faced by the people requiring support from Care Givers and the barriers faced by the care givers in providing support., so that proper intervention techniques could be devised to raise the quality of life of the elderly and to reduce the negative outcomes of care giving practices.This was a cross sectional survey conducted at the Community Health Centre (CHC), Aga Khan University Hospital (AKUH) located at Karachi from September 2009 to November 2010. AKUH is a tertiary level teaching facility in the private sector and caters to the medical needs of a large majority of patients coming from all over Karachi as well as from other parts of Pakistan. CHCalong with family medicine clinics also provides specialist services to a number of patients thus enabling a diverse assortment of patients from all backgrounds to be encountered.A total of 423 people who were 65 years or older presenting to CHC for consultation were approached out of which 400 agreed to participate in the study through non probability convenient sampling.Sample size was calculated through WHO sample size calculator by using following assumptions: since we do not have any prevalence data for the Frequency and associated factors for care giving among elderly patients visiting a teaching Hospital in Karachi, Pakistanhence a prevalence of 50% was assumed to observe a difference, with bound of error of 5% and level of significance of 5%, the estimated sample size was 385.After addition of 10% for non-response the final sample size was approximately 423 study participants.The initial questionnaire was designedbased on the prior experience of investigators, input fromcolleagues, peers as well as patients.The proforma was then pre-tested on 25 respondents and no changes were deemednecessary to be made in the questionnaire based on this pretesting.The questionnaire was initially prepared in English; then translated into Urdu, the national language of Pakistan, for the convenience of the respondents. The questionnaire was also back-translated into English by two non-medical personnel to check for any paraphrasing errors.The questionnaire was divided into four sections and included questions related to Socio demographic factors, needs of elderly people and their choices for Care Givers, perception of elderly people regarding their Care Givers and the impact of Care Giving on their life. And lastly characteristics of care giving among respondents based on gender.p-value of <0.05 was considered significant.Data was entered using Epi-data version 3.1 and analyzed through SPSS version 15. Frequencies were calculated for categorical variables (Gender), Mean and standard deviation for age. Cross tabulation was done and chi-square test was applied to compare different factors related to care giving on the basis of gender and Written informed consent was obtained from the subjects after explaining the study objectives. The subjects were free to withdraw at any time without giving any reason.Strict confidentiality was maintained throughout the process of data collection, entry and analysis. All efforts were made in this study to fulfill the ethical considerations in accordance with the \u2018Ethical principles for medical research involving human subjects\u2019 of Helsinki Declaration A total of 423 people were approached out of which 400 agreed to participate in the survey.The overall response rate was found to be 91%.Among these respondents, 165(41%) were male and 235 (59%) female with a mean age of 69\u00b15.95 years.On enquiring about the relationship of the care givers with the participants around three fourth of the care givers (72%) were their immediate family members whereas only (15%) were house Maids and (9%) their relatives. Relationship of the elderly with the care givers have improved in only (37%) cases while (59%) did not felt any change at all. Impact of care giving to respondents showed improvement as mentioned by majority of the respondents and .on specifying improvements areas majority responded for medical problem (37%) followed by improvement in financial (10%), social (12%) and emotional well being (16%).Problems in providing service was faced by (43%) of the care providers as mentioned by care recipients. Most common reasons responsible for slow down of taking care of elderly people/relatives included financial difficulty (30%) lack of time(30%) followed by job responsibility(22%),home responsibilities(10%) and, health reasons(6%)respectively.It is important to note that 290 (73%) respondents reported they provided care in their past life and among these 66% of them acted as a Care Giver for their family members. Regarding duration of care giving 54% of the participants recalled that they provided care for more than 3 years. About 68% of them accepted that they faced difficulty in providing care with majority having financial difficulty and lack of time as the main barrier.This study assessed frequency and associated factors of care giving among elderly population visiting a teaching hospital in Karachi. Numerous studies have been conducted worldwide but to the best of author's knowledge very limited data exist regarding trends of care giving in Pakistan.In this study majority of the participants were females probably females required more assistance of care givers in comparison to males and they have higher life expectancy as compared to males these results are consistent with studies in other parts of the world It was seen that majority of the elderly needed care givers for medical and physical reasons as large number of population in this age group suffers from multiple Co-morbidities Similarly financial needs were also reported by only small number of respondents probably because they belonged to educated and financially better placed group of individuals. It also is explained on the basis of support being available to those living in extended family model.Social needs were stated by small number of respondents because of their limited mobility as a consequence of multiple co-morbidities and physical limitations. A need exists to promote Senior Citizen Clubs and societies that may provide opportunities for socializing among elderly population and social interactions and exchanges.A majority of respondents reported immediate family members specially females as care providers similar to another study done in Thailand This will lead to a serious issue in future with the substitute of traditional extended family system with nuclear family system. On the other hand it was interesting to note that small numbers of respondents were using House Maid as care givers.Time provided by the care givers by half of the elderly population was less than four hours per day and only a small number were able to give up to eight hours of care giving which is required for minimum needs. Another aspect was that there were more than one Care Giver for a given patient and the added supported may be able to satisfy most of the patient requirements this is consistent with a study done in Spain which showed care givers spent around 14 hrs/day with more than one care givers It is also notified that a significant respondents required assistance from Care Giver for more than three years similar results of study done in Pakistan on care giving of cancer patients Relationship between patient and care provider has an important role to play in care giving as evident by a prior studies It was heartening to see that around one third of the respondents reported improvement after care giving. Major areas of Improvements were medical, physical, social and financial well being On further questioning one third of the respondents reported unfulfilled needs despite provision of care giving. Financial need was the most commonly reported unfulfilled need. These results are in contrary to findings of a study done in Japan on females with or without dementia and showed majority of the females without dementia were satisfied with their daily life and economic status Nearly two third of the respondents reported that their needs were fulfilled by care giving. Majority of the people had an impression that the care provided by the care giver improved their quality of life Majority of the respondents reported they provided care in their past life and more than half of them acted as a Care Giver for their family members. This shows that Care Giving is an accepted practice in Pakistani society. Half of these individuals recalled that they provided care for more than 3 years, again emphasizing long term and ongoing nature of care giving in the elderly.On further enquiring about difficulties which they faced while providing care more than half of the respondents faced difficulty in providing care with a majority having financial difficulty and lack of time as the main barriers these results are similar to a study done in Canada and Spain This study highlights the issues and problems encountered by elderly people and their care givers and also clearly demonstrate the level of satisfaction regarding their care. Elderly care is provided by majority of the family members resulting in increased satisfaction level, however small number still not satisfied due to unfulfilled need of these older people as a consequence of hindrance faced by the family members in the form of financial, mental and psychosocial issues. Lack of awareness among family members for elderly care is also an important area of concern. Pakistan lack social services or study respite centers or any support system for the elderly. This situation demands efforts to strengthen the family support by increasing awareness regarding elderly care and arranging support system by the government for these older population.This study was done on a selected population of elderly in a tertiary hospital which caters mostly educated people with good financial background so it cannot be generalized. However Community Health Centre caters people from all socioeconomic groups this fact helped us in offsetting this particular limitation of study."}
+{"text": "Studies have widely documented the socioeconomic inequalities in maternal and child health related outcomes in developing countries including India. However, there is limited research on the inequalities in advice provided by public health workers on maternal and child health during antenatal visits. This paper investigates the inequalities in advice provided by public health workers to women during antenatal visits in rural India.The District Level Household Survey (2007\u201308) was used to compute rich-poor ratios and concentration indices. Binary logistic regressions were used to investigate inequalities in advice provided by public health workers. The dependent variables comprised the advice provided on seven essential components of maternal and child health care. A significant proportion of pregnant women who attended at least four ANC sessions were not advised on these components during their antenatal sessions. Only 51%\u201372% of the pregnant women were advised on at least one of the components. Moreover, socioeconomic inequalities in providing advice were significant and the provision of advice concentrated disproportionately among the rich. Inequalities were highest in the case of advice on family planning methods. Advice on breastfeeding was least unequal. Public health workers working in lower level health facilities were significantly less likely than their counterparts in the higher level health facilities to provide specific advice.A significant proportion of women were not advised on recommended components of maternal and child health in rural India. Moreover, there were enormous socioeconomic inequalities. The findings of this study raise questions about the capacity of the public health care system in providing equitable services in India. The Government of India must focus on training and capacity building of the public health workers in communication skills so that they can deliver appropriate and recommended advice to all clients, irrespective of their socioeconomic status. Janani Suraksha Yojana (JSY) \u2013 under the National Rural Health Mission to promote births in the public health care system in the country. Further, maternal and child health services are provided free of charge in the public health care system. Another important step taken by the Government of India to improve accessibility of health services is to make certain primary health centres in the rural areas functional 24 hours a day.Prenatal care, skilled birth attendance and postnatal care strategies have been recommended for several years Despite all these efforts, the utilisation of care during pregnancy, at childbirth and during the postpartum period has been limited in India. Recent data from the National Family Health Survey 2005\u201306 suggests that only 37% of pregnant women made 4+ antenatal visits for their most recent pregnancy, 39% delivered their recent babies in a health facility, and only 42% of women reported receiving postnatal check-up after their most recent birth Advice and counselling are important components of the antenatal care package and key to improving health behaviour and care seeking during pregnancy, labour and delivery and in the post-partum period There are only a few studies that have examined inequalities in advice provided during the antenatal sessions. Recent studies in rural Tanzania reported that most recommended topics critical to improving maternal and newborn survival were rarely covered during the antenatal sessions The Government of India guidelines recommend that every pregnant woman have at least three antenatal visits and that the first visit is preferably in the first trimester. During the antenatal visits, pregnant women must undergo physical examination , interventions (such as iron folic acid supplementation and tetanus toxoid vaccinations), laboratory investigations, counselling , etc Our study is, therefore, an attempt to investigate the inequalities in advice provided by the public health workers to women during antenatal sessions in rural India using a recent and representative large-scale dataset that was particularly designed to monitor the performance of the Reproductive and Child Health (RCH) program in India. In particular, this paper examines the inequalities in advice according to the wealth status of the clients. The paper investigates the inequalities in advice separately for higher level and lower level health facilities. We restrict our analysis to rural areas as the rural population depends heavily on public health facilities for maternal and child health care services.The study is based on a secondary data set with no identifiable information on the survey participants. This dataset is available in the public domain for research use and hence no formal approval from the institutional review board is required. So, no ethics statement is required for this work.We used data from the \u2018District Level Household Survey\u2019 round three (DLHS-3) conducted in 2007\u201308 in 601 districts from 34 states and union territories of India. The DLHS-3 was designed to provide estimates on maternal and child health, family planning and other reproductive health indicators at the district level Dependent variables used in the analysis are the advice provided on seven essential components of maternal and child health care during antenatal sessions. These components include 1) breastfeeding, 2) keeping the baby warm, 3) spacing methods of family planning, 4) limiting methods of family planning, 5) nutrition, 6) institutional delivery, and 7) visiting a health facility in case of pregnancy complications. Advice and counselling during antenatal sessions play a critical role in preventing morbidity and mortality among the mothers and the newborn by enabling women and their family members to adopt health promoting behaviour and to identify and act on medical emergencies that may arise during pregnancy, delivery and post-partum periods The main explanatory variable of interest in the analysis is a measure of wealth \u2013 computed in order to investigate inequalities in access by poverty status. In the absence of direct data on income or expenditure in many surveys, a wealth index based on the ownership of household assets is widely used as a proxy for assessing the economic status of the households Wald test was used in the binary logistic regression models to examine whether or not wealth status was a predictor of receiving advice during the antenatal sessions.To assess the extent of inequalities in access to advice, we estimated rich-poor ratios , as well as concentration indices (CI). The CI measures the relationship between the accumulated proportions of individuals ranked by their socioeconomic status against the cumulative proportion of utilisation of healthcare The advice given to pregnant women on the seven components during antenatal sessions in India was far from universal and varied considerably across the type of advice . The advThe provision of advice on the seven components also varied by the level of public health facility; the chances of providing such advice being higher in higher level facilities compared to lower level facilities. For example, 75% of pregnant women who availed themselves of antenatal care in the higher level facilities were advised on breastfeeding compared to only 70% among those who availed of antenatal care in the lower level facilities. Likewise, 65% of women availing of antenatal care in the higher level facilities were given advice on keeping the baby warm compared to only 59% among those who availed themselves of antenatal care in the lower level facilities.The rich-poor ratios suggest enormous socioeconomic inequalities in the provision of the aforementioned advices. The rich-poor ratios were consistently above one, thus indicating that the rich were more likely than the poor to receive advice . MoreoveWald test was significant in all the models indicating that wealth status was indeed a predictor of receiving the seven sets of advice. Findings further suggest that women availing of antenatal care in the higher level facilities were significantly more likely to receive advice on breastfeeding, keeping the baby warm, spacing and limiting methods of family planning, and nutrition than women availing of antenatal care in the lower level facilities.The binary logistic regression results for providing advice on the seven components during antenatal sessions are shown in Wald test results suggest that wealth status was a predictor of receiving advice in only five out of seven components . In contrast, among those women who availed themselves of antenatal care facilities, the rich were 1.3 to 1.5 times more likely than the poor to receive advice on all the seven components in the lower level facilities which also showed significant socioeconomic inequalities in the utilisation of postnatal care among facility births The World Health Report 2005 has particularly emphasized on the critical issues of exclusion and equity A few studies from the developed and developing world have shown that inequity is built in the health systems This study has some limitations. The information in DLHS-3 on advice during antenatal sessions was obtained from women and thus might be affected by recall bias. However, the chances of such bias are limited because we restricted our analysis to only those women who had four or more antenatal visits. By doing this, we included only those women in our analysis who were motivated enough to utilise the antenatal care services and thus recall the information provided to them. The analysis was also restricted only to the most recent birth that took place in the three years preceding DLHS-3. The survey format has been regularly used in the various rounds of DLHS and the findings are widely used to monitor the performance of policies and programs in India. Survey teams receive formal training and quality control measures are in place. Moreover, a study conducted in Indonesia, India and China has shown that while systematic reporting heterogeneity was significant, it was relatively small in magnitude and did not have a substantial effect on measured socio-economic inequality in health Our findings have important policy implications. The Government of India has taken a number of steps for improving maternal and child health in India. Promoting antenatal care, delivery care and postnatal care are some of the interventions. Studies have shown that there is a preference among the health workers for medical procedures during antenatal visits and advice and counselling are limited In addition, the Government of India is taking a number of initiatives to improve public health care infrastructure to provide quality care to the rural and socioeconomically deprived population under its most ambitious program, the National Rural Health Mission (NRHM) 2005\u20132012. The Government of India has also formulated Indian Public Health Standards (IPHS) and is trying to bring health care infrastructure especially in rural areas up to IPHS. A number of other architectural corrections have also been proposed to deliver quality care to the rural population. The Government of India is planning to launch the second phase of NRHM. So, it is high time that the Government of India focused more on training and capacity building of the health personnel so that they can deliver appropriate and recommended care to the clients. Special sessions must be organised to sensitize health workers towards the special needs of the socially and deprived classes of the population, who need more care and attention. The health workers must also be informed about the rising inequalities in maternal and child health and its negative consequences. These strategies are particularly needed for public health workers deputed to the lower level health facilities, as our findings clearly reveal higher inequalities in advice among women who availed of antenatal care from lower level health facilities compared to those who availed of antenatal care from higher level health facilities. Policy-makers and program managers should think seriously about improving the managerial skills of the health workers, so that they treat their clients equally irrespective of their socioeconomic status. If immediate attention is not given to these findings, there is every chance that the public health care system will improve in terms of infrastructure, but will fail in delivering the required services to those who need them the most."}
+{"text": "In less than 40 years of the first human gene being isolated, which involves putting isolated and manipulated DNA (genes) back into individuals for treatments of genetic diseases. Gene therapy is now more widely accepted to encompass all forms of therapeutic intervention in which DNA is used to alter the overall pattern of gene expression within an organ. Potential applications of gene therapy are widespread and implications for the management of various human diseases are becoming available. Approaches are being developed to overcome difficulties and identify a number of potential applications . The manIt is now relatively well accepted that much of human disease can and should be treated at the level of underlying genetic manipulation. Much of the theoretical basis of gene therapy are going to be worked out step by step . What weSeveral approaches have also been made to modify cell phenotype including inhibition of gene function associated with cell proliferation and to arrest the progress of atherosclerosis and restenosis, and the local production of growth factors to promote angiogenesis to elicit regionally specific effects i.e., directed for to regions of hypoxia or other stress. Approaches most likely to succeed in gene therapy remain a subject for speculation and based on experimental findings. We should also take caution and not only overestimate the importance of gene therapy at this early, but promising stage. These are exciting times but it takes additional and substantial effort before gene therapy makes real impact in humans. What appears certain is that cardiovascular diseases will be a major of therapeutic applications."}
+{"text": "Case finding by using screening on frailty and physical activity among elderly and coaching them on lifestyle and to find appropriate activities in order to increase physical activity and well-being of elderly.Several stakeholders in community health services and social services, can detect signs of frailty and poverty of physical activity in their contacts with elderly clients. It is also known that adequate physical activity will positively affect the different area\u2019s of frailty like physical and mental abilities as well as social well-being.Therefore valid screening on frailty and physical activity and subsequent interventions are important to (positively) affect the negative spiral of becoming more and more frail and dependent on health and social services.In each municipality a local network of health care professionals and social workers came together in order to make agreements on the process of early screening and lifestyle coaching focused on physical activity and on the stakeholders which should be involved. For each municipality 20\u201340 elderly can be included in the process of lifestyle coaching with the following inclusion criteria:in the age of 55 years or olderliving independent frailty score of 4 or more or physical ability-score of 2 or morepoor physical activity and motivation to improve physical activity.Questionnaire among stakeholders in community health services and social services (for early screening) and among the lifestyle coaches. Structured interviews among elderly who are participating in this field project. Measurements using the GFI-scale for frailty and a scale for physical activity.During the period September 2011 until June 2012 the early screening will be performed using the validated Groninger Frailty index and the lifestyle coaches will select and reach them in order to start a coaching process.Starting up early screening by several stakeholders demands a good preparation; involvement in making the local appointments about the process of screening and lifestyle coaching is important. Having a coordinator with an important responsibility for communication is crucial. New connections are realized between social workers and health care professionals. To get other professionals involved for early screening is not easy. Focus on frailty in early screening is altered to physical activity. Success for including elderly differs among the municipalities.Results from structured evaluation are not available yet. In March 2012 some preliminary results will be presented."}
+{"text": "Patient and public involvement (PPI), inclusion of members of the public as active partners in the research process, can be a requirement of research funding. Limited evidence has suggested that clinical trials may be particularly likely to benefit from PPI. There is a lack of critical assessment of PPI and suggestions in the literature of selective reporting of its benefits. This study aims to increase the knowledge of PPI in clinical trials by systematically investigating how it is approached within a cohort of public funded randomised trials in the UK.Documentation from the application process for all randomised trials funded by the National Institute for Health Research Health Technology Assessment (NIHR HTA) programme between 2006 and 2010 were obtained. Data relating to PPI activity and how these plans were assessed within the peer review process were extracted.Documentation to allow details of planned PPI activity to be extracted were available in 107 RCTs. PPI representation was not described in 15% with representation on TSCs, DMCs, and TMGs described in 53%, 8%, and 12% of applications respectively. A consultancy approach was described in 26%.Of the 515 reviewers comments across the trials only 211(41%) commented on PPI plans. The majority repeated the PPI plans from the application rather than commenting on their suitability.Research applicants frequently describe PPI but reviewers seem unable to comment on suitability of the approach. Evidence of impact is needed to inform future approaches for applicants and peer reviewers."}
+{"text": "What mechanisms underlie this impact of emotion on perception? Evidence suggests that emotion-induced blindness may be distinguishable from closely related phenomena such as the orienting of spatial attention to emotional stimuli or the central resource bottlenecks commonly associated with the attentional blink. Instead, we suggest that emotion-induced blindness reflects relatively early competition between targets and emotional distractors, where spontaneous prioritization of emotional stimuli leads to suppression of competing perceptual representations potentially linked to an overlapping point in time and space.Emotional visual scenes are such powerful attractors of attention that they can disrupt perception of other stimuli that appear soon afterward, an effect known as Most aspects of the environment resonate with emotional meaning, so an understanding of perception in the real world necessitates understanding how it is impacted by emotion. Evidence suggests that emotional stimuli themselves attract attention more robustly and are more readily detected than are non-emotional stimuli of upright landscape and architecture photos at a rate of 10 images per second. They were instructed to search within each stream for a landscape or architecture photo that was rotated 90\u00b0 clockwise or counterclockwise and to report its orientation was equally likely to appear in the same stream as the target or in the opposite stream. Results revealed that target perception was worse following an emotional distractor only when the critical distractor appeared in the same stream as the target . At the end of the experiment, the female participants were asked to rate their level of unease about the fact that their partner had been rating other women; in two separate experiments, there was a robust correlation between self-rated unease and emotion-induced blindness perception of neighboring targets through relatively central, late-stage mechanisms as well . The evidence reviewed in the present discussion highlights potential spatiotemporal competition mechanisms; further characterization of the loci at which emotion can impact visual processing holds promise for more fully understanding the myriad ways that it can shape our conscious perception of the world.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Urachal remnant disease is uncommon in adults and can present with symptoms ranging from drainage near the umbilicus to a severe abdominal infection. Most cases are referred for treatment once diagnosed either clinically or radiographically with ultrasound or computerized tomography. We present a unique case of an infected urachal cyst visualized on a series of CT scans in an adult patient with abdominal pain over a period of years. A 33-year-old-male patient presented initially with lower abdominal pain in March 2006. He was diagnosed with appendicitis based upon his exam and history. A CT scan of the abdomen was performed at that time and demonstrated extensive inflammatory changes in the right lower quadrant with possible interloop abscess . Two nonThe patient presented again in August 2011 with right flank pain and urinary symptoms. A noncontrast CT scan of the abdomen was performed and demonstrated a right ureterovesicular junction calculus with mild right ureteral dilation . Again, He subsequently presented again 3 weeks later with severe abdominal pain and induration of his lower abdominal wall. CT imaging now demonstrated interval enlargement of a complex cystic mass inseparable from the anterior superior wall of the urinary balder and abutting the posterior margin of the abdominal wall . The radAt the time of surgery, cystoscopy did not demonstrate any abnormalities of the bladder. Exploratory laparotomy was performed and an indurated mass and abscess were encountered near the area of the anterior abdominal wall and bladder. The abscess was drained and a few small calcifications were encountered and removed for pathologic examination. A complete exploration was performed and the phlegmon appeared to be limited to the dome of the bladder. This area was excised and the dome of the bladder was closed primarily in layers with absorbable suture. Drains were placed and the abdominal wall was debrided and closed. He had an uncomplicated postoperative course. Final pathology demonstrated urachal remnants with no evidence of malignancy. The urachus is an embryologic tract that extends from the bladder to the umbilicus during development . RemnantOur case highlights the potential complications related to an urachal cyst disease in one patient who was treated for multiple causes of lower abdominal pain. The initial presentation of appendicitis was the first glimpse of the cystic remnant disease. The lower abdominal inflammatory changes were nonspecific and therefore it was impossible to differentiate perforated appendicitis with a fecalith from a less common cause of infection. Since the operative and pathologic findings were consistent with appendicitis at that time, consideration of a simultaneous condition was not considered.Later when the patient presented with a ureterovesicular stone and mild hydronephrosis, the CT scan demonstrated the proximity of the lower abdominal calcifications to the bladder. However, at that time there was no obvious inflammatory changes or infection associated with the bladder or abdominal wall and his symptoms were more consistent with nephroureter obstruction. Despite the radiographic presence of the urachal cyst each time the patient was evaluated for his symptoms, he was diagnosed with a potentially more common cause of pain each time. It was not until the patient developed a severe infection of his lower abdominal wall that the urachal cyst was finally treated surgically and excised. Urachal remnant disease should be considered in any patient with calcifications or cysts adjacent to the anterior abdominal wall or bladder dome. Urachal disease can be an incidental finding radiographically or it may present once infection or some other complication develops. Our case presentation highlights the potential for early diagnosis or potential misdiagnosis due to the frequent use of computerized tomography for patients with lower abdominal pain."}
+{"text": "The positioning of the patient on the fracture table is critical to the successful reduction and operative fixation of hip fractures which are fixed using the dynamic hip screw system (DHS). There is a standard setup which is commonly used with relative ease. Yet the positioning of patients with amputations either above or below knee of the affected side can pose a significant challenge. We describe a novel positioning technique used on a 51-year old patient with a right above knee amputation who sustained an intertrochanteric extracapsular hip fracture. Hip fractures are a common source of morbidity and mortality worldwide . The incThis standard setup is quick and is achievable with relative ease in patients with intact lower limbs. The positioning of patients with amputations either above or below knee of the affected side can pose a significant challenge. We describe a positioning technique used on a 51-year old patient with a right above knee amputation who sustained an intertrochanteric extr-capsular hip fracture.A 51-year-old male with a right above knee amputation presented to the emergency department with a painful right hip subsequent to a fall on that side. He had been mobilising with two crutches for the previous four weeks while awaiting new prosthesis for the right above knee amputation from previous infected total knee arthroplasty.Plain film radiographs revealed an undisplaced extracapsular intertrochanteric fracture of the right hip .As an active and mobile amputee with a functional prosthesis, the patient was scheduled for a DHS fixation of the right intertrochanteric hip fracture with spinal anaesthesia. Securing the amputated limb poses a challenge in patients with above knee amputations. Our setup involved the standard fracture table used routinely to position a patient for DHS fixation. Adhesive fabric tape was used to secure the stump to the distal end of the fracture table in a similar manner to the application of skin traction. Combining a specially formulated porous adhesive and a superior woven cloth, Elastoplast now Tensoplast, provided satisfactory adhesion while remaining secure in place. Such adhesive fabric tape and a crepe bandage was used circumferentially around the distal stump to further secure the limb .The DHS fixation was uncomplicated and the patient's recovery was uneventful. The patient was mobilised full weight bearing as tolerated with physiotherapy and discharged two days postoperatively. The post operative radiographs were satisfactory and at tThere is little in the literature regarding the management of intertrochanteric hip fractures in patients with ipsilateral above or below knee amputations. Securing the amputated limb to the fracture table poses a significant challenge. Al-Harthy et al. describeLimbs that have undergone an above knee amputation can have short stumps that can be very challenging to position or apply traction to. To our knowledge, there is only one report on the positioning technique for patients with a fracture and an above knee amputation. Aqil et al. describeOur technique is an alternative to those described above. While the skin traction facilitated positioning of the limb, it provided little rotation control. Our patient had an undisplaced fracture and our technique resulted in a timely and satisfactory fixation. Due to the size of the stump and the small area the skin traction is applied to, it cannot generate any significant amount of traction prior to it getting unravelled. It may be conceivably more useful in below knee amputees where adequate skin traction and therefore traction may be applied. The skin around the stump needs to be carefully inspected prior to application of this technique as any fragile areas may become prone to breaking down during the procedure if prolonged.Some level of rotation can be applied using a wooden stick or a metal bar placed within the crepe bandage limbs and applying rotation towards the desired direction. Yet if significant traction and rotation control were needed for the reduction and fixation of these fractures, the use of skeletal pin traction may be necessary. The application of such a pin carries with it the risk of injury to the soft tissues of the stump. The pin may pull out of the osteoporotic bone on application of traction.There is little in the literature regarding the intraoperative positioning of patients with a hip fracture and an above knee amputation. There is one previous report and we describe an alternative technique for the positioning of a patient with an extracapsular hip fracture and an ipsilateral above knee amputation."}
+{"text": "The objective of this study is to discuss some of the issues and give some examples of dealing with clustering in individually and cluster randomised trial sample size calculations.Clustering often occurs in individually randomised trials and is sometimes ignored when calculating sample sizes. Examples include practitioner effects in individually randomised trials with more than one practitioner or therapist effects from group interventions where clustering may be in one arm only. Additional levels of clustering may also occur in cluster randomised trials and estimating their effects can be difficult.Sample size calculations for several recent grant applications submitted by the South East Wales Trials Unit (SEWTU) have attempted to account for clustering or reduce inter-practitioner variation in different ways.Example 1: Clustering effects in an individually randomised trial of a group intervention for drug and alcohol detoxification based in prison were estimated for the intervention arm and the sample size of both arms inflated. Example 2: Clustering effects of anaesthetist were not estimated for a multi arm trial of 4 different airways devices but sample sizes were inflated to allow for small unknown effects. Sample size estimation used comparative and equivalence methods in three parallel multi arm trials. Example 3: Possible clustering in a trial of fissure sealant vs fluoride varnish at the school or family level was not accounted for in sample size calculations. All schools in the trial are Communities First schools and likely to be fairly homogeneous. Example 4: Unknown clustering effects of weight loss slimming groups were not accounted for in the intervention arm of a cluster randomised trials of a healthy lifestyle programme in obese pregnant women. Training has been implemented to reduce variability among group leaders.There appears to be no consensus regarding dealing with additional clustering effects and best efforts are made on a trial by trial basis for sample size estimation. Access to data for the estimation of intraclustering correlation coefficients and/or dissemination of the results will benefit all researchers designing trials with clustering issues."}
+{"text": "Two major neurological disorders \u2013 Parkinson\u2019s disease and dystonia \u2013 are believed to involve pathology in the activity of the basal ganglia, a subcortical brain structure, whose output nuclei projects to thalamus and modulates thalamocortical relay. While these disorders may ultimately involve different network and cellular pathologies, some pathological physiology may be shared between them because surgical treatment of both conditions includes surgical lesion or electrical stimulation to GPi . This work compares the thalamocortical relay responses to inhibitory inputs from internal segment of GPi in Parkinson\u2019s disease and in dystonia.Experimental data suggest that both conditions are marked by stronger oscillatory activity. In dystonia this activity becomes pathologically strong in the theta and alpha bands ,2, whileThe results of the study of the \u201chybrid\u201d system reveal a substantial similarity in the properties of relay in Parkinson\u2019s disease and in dystonia. TC relay fidelity is substantially impaired due to the pathological pattern of GPi signals in both conditions. The results are robust with respect to variations of the model details and the types of incoming excitatory synaptic input.The results suggest that even though the rhythmicity in Parkinson\u2019s disease and dystonia are confined to different frequency bands, their effect on the dynamics of downstream circuits is similar. Thus given the differences in dystonic and parkinsonian symptoms these results suggest the existence of mechanisms beyond pathological rhythmicity and thalamocortical relay in at least in one of the conditions. On the other hand, overlap in some motor deficits of dystonia and Parkinson\u2019s disease may be attributed to the existence of similar pathological rhythmicities and the resulting deficiencies of thalamic relay."}
+{"text": "The project focussed on two local services in Wales that have recently moved to an integrated health and social care intellectual disabilities service.What are the advantages and disadvantages of service integration as viewed by parents with respect to care provision for young people with intellectual disabilities?We conducted a parental survey facilitated by nursing staff in both local services.Parents were generally skeptical of any positive impact of organisational changes on quality of care for children with LD. The main issues of concern for parents, however, did NOT relate to integration but to lack of resources and quality of care provision. This has serious implications for the way in which we should evaluate organisational changes such as health and social care integration for this user group.Parental concerns cover a wide range of issues. These issues reflect the unique needs of service users. Evaluating the impact of service integration for service users need to take account of different needs and abilities in this population group. The study also helps us to appreciate the limitations of parental surveys to measure service integration outcomes."}
+{"text": "Associated neurospinal dysraphism in combination with anomalies of the genitourinary tract is well known in children with imperforate anus. There is a broad spectrum of concomittant anomalies with the OEIS Syndrome as the most serious endpoint. OEIS is an acronym for omphalocele, exstrophy , imperforate anus and spinal defects. At present almost all cases of OEIS are diagnosed prenatally and the patients should be treated at a specialized center with a multidisciplinary team. The complex diagnostic procedures and surgical measures are addressed as well as the difficulties in achieving continence in these patients.We present data of six patients with imperforate anus and spinal dysraphism currently managed in the spina bifida clinic of the Children\u2019s Hospital of Cologne. Two of them presenting the complete OEIS syndrome symptoms, another two with cloacal exstrophy without omphalocele and two with major renal malformations. Only two of six patients had hydrocephalus.The often difficult and multiple reconstructive surgical procedures in these patients are described . Especially the management of incontinence is extremely complex in these patients. For instance there is no sufficient bladder capacity in patients following initial closure of bladder exstrophy and there is only a weak or no function of the anal sphincter following pull-through procedures.OEIS syndrome is a devastating combination of anomalies resulting in a neurological deficit similar to myelomeningocele. In contrast to the functional problems arising in spina bifida patients, children with OEIS syndrome have functional impairment with additional problems due to the malformed urogenital tract and anorectal system. Management of children with OEIS syndrome demands a careful management plan starting already in the prenatal period and resulting in a life-long surveillance. Treatment of these patients should only be performed by a multidisciplinary team in a specialized center."}
+{"text": "Although there is a substantial literature about the effectiveness of psychological therapies such as relaxation for pediatric chronic pain and about mindfulness meditation (MM) for health and mental health conditions, there has been little systematic attention to the use of MM for pediatric chronic pain. This presentation will address lessons learned from our ongoing clinical trial of MM in a pediatric chronic pain service at a university clinic.We present case material from our ongoing pilot clinical trial of a manualized mindfulness meditation intervention, called Inner Resources for Coping with Chronic Pain . Participants are 30 patients diagnosed with chronic pain and aged 11 \u2013 17 receiving a 6-week, group-based meditation intervention that includes daily home practice of the techniques. Case material from two participants will be presented to illustrate effects and precautions.Our case material indicates that patients are able to learn and practice the MM techniques, with good adherence to the home practice. A male patient with multiple pain complaints was able to learn and practice the meditation techniques and use them to cope with stressors associated with his medical conditions. A 16 year old female patient with longstanding participation in pain management that primarily involved distraction found the concurrent use of mindfulness and distraction to be confusing and ineffective.MM shows promise as an intervention for helping children and adolescents to deal with chronic pain. The children and adolescents in our clinical trial have evidenced the ability to engage with the material and adhere to regular home practice of the techniques and application of them to presenting problems. However, a note of caution is raised by the possible incompatibility of mindfulness with concurrent therapies emphasizing the use of distraction for dealing with chronic pain."}
+{"text": "Clark's article provides a useful synthesis of theoretical and empirical work evincing the brain as a prediction machine and proposing bi-directional, prediction error estimation as a fundamental mechanism of adaptive brain function. Accordingly, in Bayesian terminology both cognitive and perceptual mental states can be understood as statistical posterior distributions formed by integrating encountered data (with specific likelihoods) with prior beliefs (in turn with their own prior distributions). In his discussion of this unifying framework, Clark elegantly describes how updating priors with the aim of minimizing prediction error can sometimes result in illusory experience. When faced with stimuli manipulated to have multiple possible hidden causes, ambiguity is resolved by selecting the most likely explanation given prior beliefs about those hidden causes. As such, in conditions such as those created for the sound-induced visual illusion and delusional beliefs ; with a marked impact on social and occupational functioning. The underlying mechanisms giving rise to these phenomena remain unclear, and current treatment is largely based on medication to block sub-cortical dopaminergic receptors, allied to cognitive behavioral psychological approaches to reduce distress associated with these symptoms. Examination of individuals with schizophrenia demonstrates that they are less susceptible to perceptual illusions than healthy individuals. For instance, the McGurk phenomenon by which incongruence between certain lip movements and speech sounds produces the perception of alternative speech sounds appears to be exhibited to a lesser degree in individuals with schizophrenia (Pearl et al., Can the findings of reduced susceptibility to perceptual illusions be viewed as conferring a schizophrenia-related behavioral advantage? If so, is this outperformance of healthy individuals by those with schizophrenia best explained by a predictive failure? The findings of our own laboratory provide empirical evidence that predictive abnormalities are not restricted to passive sensation \u2013 in accord with Clark's suggestion of prediction as a universal neural mechanism \u2013 but extend to predictions made on the basis of self-generated movement. Individuals with schizophrenia differ from healthy individuals in their ability to estimate the level of force necessary to match a force applied directly to themselves (Shergill et al., Computational modeling has proven valuable in the characterization of behavioral and neurophysiological parameters relating to the updating of Bayesian processes during information processing in schizophrenia (for example, Averbeck et al., The study of wide-ranging illusions presents a potentially fertile means of understanding the intricacies of predictive failures in schizophrenia as each illusion draws on specific perceptual and cognitive priors. On the flip side, the study of illusion potentially provides a tantalizing model for the study of distorted reality in the healthy brain. Furthermore, given the efficacy of dopaminergic pharmacological neuromodulation in patients with schizophrenia, there is an urgent need for examination of the role of neurotransmitters in mediating predictive coding."}
+{"text": "Postgraduate training is a dynamic activity. Over the years it is undergoing increasing standardization. In the past programs have been haphazard and inconsistent but now structured curriculum are in place. Comprehensive details related to criteria of entry, duration of training, core knowledge areas, and competencies required can be found. How program is to be run is explicitly chalked down and log books developed to be completed by trainees. In Pakistan one such model is implemented by College of Physicians and Surgeons Pakistan (CPSP). The program was developed through a well organized activity with explicit guidelines, under supervision of medical educationists, who initially trained program directors through various educational workshops. Few medical universities have also developed curriculum related to pediatric surgery but how they are developed is not known. While CPSP training program is uniform throughout the country, university program varies. There is also a comprehensive evaluation system with CPSP program and evaluation strategies are accessible to both trainees and trainers and evaluators.The magic figure of three years of residency in pediatric surgery in CPSP model is questioned by few program directors. In United States the total duration of training in pediatric surgery after general surgery residency, is two years. The 18 months training comprise of clinical pediatric surgery and the remaining six months may be spent in related clinical disciplines to enhance the educational experience, or get involved in scholarly activities. It raises question as to how general surgery residency in US model is beneficial to those seeking career in pediatric surgery. In this model the pediatric surgery resident spends only 25% of his total training in core curriculum of his own discipline. During this time period it is expected that trainee must document a total of 800 major pediatric surgery procedures as surgeon and the service providing training must cater for at least 1200 core surgical procedures per year. It is for pediatric surgeons to ponder for unique requirements for patient population and trainees [The magic figure of three years of residency in pediatric surgery in CPSP model is questioned by few program directors. In United States the total duration of training in pediatric surgery after general surgery residency, is two years. The 18 months training comprise of clinical pediatric surgery and the remaining six months may be spent in related clinical disciplines to enhance the educational experience, or get involved in scholarly activities. It raises question as to how general surgery residency in US model is beneficial to those seeking career in pediatric surgery. In this model the pediatric surgery resident spends only 25% of his total training in core curriculum of his own discipline. During this time period it is expected that trainee must document a total of 800 major pediatric surgery procedures as surgeon and the service providing training must cater for at least 1200 core surgical procedures per year. It is for pediatric surgeons to ponder for unique requirements for patient population and trainees [Accreditation of the services for training in pediatric surgery is another painstaking assignment. An elaborate form has been developed by CPSP to be filled in by the program directors providing details of workload, facilities offered, number and expertise of teaching faculty etc. It is an observation that departments of pediatric surgery in the country are heterogeneous thus training imparted may not be uniform. Some services may get recognition even when facilities like ICU care, minimally invasive surgery etc are not optimal. Thus need of rotation to other centers where such exposure is guaranteed, must be looked into.The two important areas not addressed with CPSP model are, compliance with the residency program, periodic evaluation and need of changes that may be required in this era of rapid technological advancement with new evidence based data related to diseases. No study has been conducted by pediatric surgeons in this regard to objectively address the issue. The Association of Paediatric Surgeons of Pakistan may gather a multi-institutional data to get some inference and suggest changes, if deemed necessary.Another important issue is evaluation of trainees. In United States continuous periodic assessment is made and feedback given while in contemporary evaluation system with CPSP only end exam is the deciding point though residents do complete log books of their training and write dissertation or a scientific paper but these are not counted in the final examination. The training institutes thus play a passive role and may feel isolated. The input from supervisors must be acknowledged at some level for which integrity of trainers themselves is an issue. The role of trainers in residency program must be assessed periodically by respective institutes and monitoring body. In addition residents should be asked to write an annual confidential report of their supervisors. This two way accountability and evaluation helps in raising the standard of training program and evaluation of both trainees and trainers.A residency program in pediatric surgery intends to impart advance knowledge coupled with hands on training to aspiring young doctors caring for children. An optimal program thus aims at producing safe surgeons, competent enough to take care of pediatric surgical patients referred to them.Source of Support: NilConflict of Interest: None declared"}
+{"text": "The atomistic modeling of protein adsorption on surfaces is hampered by the different time scales of the simulation ( The interaction of proteins with different biomaterials plays a vital role in describing their biocompatibility. Depending on the surface the overall protein structure may vary from native to unfolded A major problem that arises when using MD to study protein adsorption is the limited time scale of only a few hundred ns. The experimental time scale when these processes are investigated usually ranges from Based on the work by Voter In the present work, a comparison between classical and accelerated MD is used to show differences in the sampling of conformational changes during adsorption on a hydrophobic graphite surface. To our knowledge, it is the first time that the technique of aMD is used to study protein adsorption. We note that interest in adhesion studies focuses on the final structure and adhesion forces of the adsorbed molecule, since this is where comparison to experiment is possible. The actual adsorption dynamics are not so relevant; this feature makes adsorption a good candidate for aMD.Our protein of interest is the bone growth factor BMP-2 (bone morphogenetic protein 2) which is used to improve osteointegration by functionalizing implant surfaces All the simulations were carried out using NAMD 2.8 ayer see .For all simulations periodic boundary conditions are used with Particle Mesh Ewald (PME) After energy minimization all systems were equilibrated for 100 ps at a temperature of 310 K and constant pressure of 1 atm with the protein backbone atoms restrained in order to prevent adsorption before equilibration. Following the equilibration classical and accelerated MD simulations were carried out for 20 ns with a time step of 2.0 fs enabled by the SHAKE In order to sufficiently sample the conformational space of adsorption the implementation of accelerated molecular dynamics (aMD) We also let these simulations run for The mass weighted radius of gyration is defined as:Furthermore, principal-component analysis using the cartesian coordinates of the protein atoms was performed with the GROMACS The adsorption snapshots were rendered using VMD During the first 100 ps both classical and accelerated simulations show a similar trend. The protein approaches the graphite surface driven by attractive van-der-Waals interactions. But very soon classical and accelerated simulations show quite a different adsorption behavior. In the case of aMD, conformational transitions start to occur instantly whereas cMD simulations show very little structural rearrangements after the protein got in contact with the surface. During the accelerated simulations not only the protein motions but also the solvent motions were affected. Since dehydration of the surface is an essential but time consuming step in the adsorption process The final adsorption snapshots after 20 ns, which compare cMD and aMD simulations , clearlyThe protein, in the case of aMD, has spread completely on the graphite surface and forms a flat peptide monolayer. This can be confirmed by the temporal evolution of the radius of gyration . Here, oteps see ; this feInterestingly, both orientations in the case of aMD show the same secondary structure content after adsorption as can be seen in When comparing aMD and cMD one can clearly recognize that the helical and Additionally, we performed cartesian principal component analysis to identify the conformational space during protein adsorption . In thisComparing our results obtained by classical and accelerated molecular dynamics simulations we conclude that sufficient sampling of the conformational space is key to understanding protein adsorption. Since adsorption phenomena take place in time scales extending from The advantages of this method are \u2013 among many others see \u2013 (i) thThe easiness of use and computational efficiency make aMD an ideal candidate for studying adsorption processes in large systems. Other interesting sampling techniques such as conformational flooding Our results suggest that the monomeric form of BMP-2 does indeed unfold on a hydrophobic graphite surface as suggested by previous results Even though the dynamics of the adsorption process have been altered, the final adsorption state is most relevant in adsorption studies, since it can be compared with experimental results. From what we know from experimental results"}
+{"text": "Simultaneous oscillation of neuron groups could provide solution to the binding problem and simuIn our experiments the Brian simulator featurinThere might be some number of basic mechanisms that are responsible for processing and forwarding information in the brain, including a variety of synchronizing mechanisms. In this experiment we have shown how synchronized oscillations of neurons and decision making processes can be used for binding and forwarding information between the neuron groups."}
+{"text": "Adverse drug reactions are a common and important complication of drug therapy in children. Over the past decade it has become increasingly apparent that genetically controlled variations in drug disposition and response are important determinants of adverse events for many important adverse events associated with drug therapy in children. While this research has been difficult to conduct over the past decade technical and ethical evolution has greatly facilitated the ability of investigators to conduct pharmacogenomic studies in children. Some of this research has already resulted in changes in public policy and clinical practice, for example in the case of codeine use by mothers and children. It is likely that the use of pharmacogenomics to enhance drug safety will first be realized among selected groups of children with high rates of drug use such as children with cancer, but it also likely that this research will be extended to other groups of children who have high rates of drug utilization and as well as providing insights into the mechanisms and pathophysiology of adverse drug reactions in children. The recent interest in personalized medicine has highlighted the importance of genetic variability in the pathophysiology and outcome of human disease or Type B (Unpredictable) Table Rieder,. While TThe importance of enhancing drug safety in children is even more telling given the drug approval process Rieder, . The usuHistorically there have been five recognized risk factors for adverse drug reactions, of which several\u2014extremes of age and impairment of the organs of clearance\u2014apply to children; more recently, an additional two risk factors have been added, one of which\u2014certain genetic polymorphisms\u2014is a direct indication of the importance of pharmacogenomics in drug safety Table Rieder,. Given tCancer is one of the commonest causes of death for children in developed countries, but also has been one of the major\u2014and often unsung\u2014success stories of pediatric pharmacotherapy. Over the past five decades, there has been remarkable overall success in terms of improved survival among children with cancer is a key enzyme in the biotransformation of 6-mercaptopurine Figure Pacific. 6-mercaThe fact that this observation was made three decades ago raises the question of why TPMT genotyping has not been a part of routine care for children with cancer for longer than it has gene and in the catechol-O-methyltransferase (COMT) gene (rs9332377) with severe cisplatin induced ototoxicity , poor metabolizer (PMs) and ultrarapid metabolizers (UMs) as the result of extensive polymorphisms for the gene encoding CYP2D6 . Thus, developing strategies to evaluate risk at the onset of therapy would be of obvious utility and as well would provide important insights into the pathophysiology of these adverse events, which remains unclear (Rieder, One of the most feared patterns of adverse drug reactions among children is drug hypersensitivity such as Stevens-Johnson Syndrome and Toxic Epidermal Necrolysis (Elzagallaai et al., Rieder, .*5701 has reduced the risk of serious skin rash from 3% to zero (Phillips et al., Initial pharmacogenomic studies in drug hypersensitivity have been somewhat disappointing Rieder, . Over thThe examples cited above should not be taken to mean they are the only care areas in which pharmacogenomics for children has the potential to improve drug safety. There are a number of other drugs commonly used in children for whom pharmacogenomic studies offer great potential in improving safety and efficacy (Downing et al., There is perhaps no area in which there is greater need for better defining therapy than pediatric psychopharmacology Arango, . While tWhen considering these studies there are serious questions that need to be asked, such as which should be priority drug targets for study? This issue has been given careful thought by a number of investigators and algorithms have been developed to identify targets for further study (Shaw et al., The use of pharmacogenomic information to inform diagnosis and guide therapy for children provides a series of interesting and unique ethical challenges. Implicit in therapy for children is the ethical conflict that the person giving consent\u2014a parent or guardian\u2014is not the one receiving the therapy. As an example, research conducting in the setting of childhood cancer demonstrated that when facing difficult therapeutic choices parents have difficulty in distinguishing their understanding of the situation from their child's experiences (Levi et al., A major additional challenge germane to pharmacogenomics is the concern that secondary information obtained during genetic testing may have a distant impact on access to insurance, employment or care (Netzer and Biller-Andorno, Our group has worked with parent groups in studying the ethical acceptability of genetic testing for their children and have found that their most important concerns were securing proper informed consent including ensuring that they had enough information to make a well informed decision. An additional concern was that their health care providers had the background and training to make appropriate decisions based on the results of genetic testing. This speaks strongly to the importance of patient and parent empowerment as well as to the need for including considerations on how to use genetic information for diagnosis and therapy in undergraduate and postgraduate health care professional training.One of the major directions that medical education and care has made over the past several decades has been in the development of evidence-based medicine and in clinical guidelines informed by evidence to enhance and optimize patient care. Our group and others are working to incorporate the use of genetic information into guidelines on the diagnosis and therapy of common and important conditions. One area in which this is most likely to take fruit in the short term is the area of pediatric oncology, where guidelines are being written to incorporate the results of pharmacogenomic analysis into the initial assessment, monitoring, and therapy of children with cancer. Cancer and chronic disease offer the potential for pharmacogenomic analysis as therapy is being planned, which provides the opportunity given real-time turn-around of genetic testing to be able to better define which children are at special risk for adverse drug events and to better plan how therapy might be more closely monitored or modified in these children.The potential of pharmacogenomics in improving therapy for children also applies in the development of new therapeutic agents, for which the potential for genetic variation impacting on efficacy and/or safety should be part of the research considerations and clinical trial design. Historically therapy for children has lagged behind therapy for adults\u2014it is important that this should not be the case in the era of personalized medicine.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "The firing rates of neurons in primate motor cortex have been related to multiple parameters of voluntary movement. This finding has been corroborated by stimulation-based studies that have mapped complex movements in rodent and primate motor cortex. However, it has been difficult to link the movement tuning of a neuron with its role within the cortical microcircuit. In sensory cortex, neuronal tuning is largely established by afferents delivering information from tuned receptors in the periphery. Motor cortex, which lacks the granular input layer, may be better understood by analyzing its efferent projections. As a primary source of cortical output, layer 5 neurons represent an ideal starting point for this line of experimentation. It is in these deep output layers that movements can most effectively be evoked by intracortical microstimulation and recordings can obtain the most useful signals for the control of motor prostheses. Studies focused on layer 5 output neurons have revealed that projection identity is a fundamental property related to the laminar position, receptive field and ion channel complement of these cells. Given the variety of brain areas targeted by layer 5 output neurons, knowledge of a neuron's downstream connectivity may provide insight into its movement tuning. Future experiments that relate motor behavior to the activity of neurons with a known projection identity will yield a more detailed understanding of the function of cortical microcircuits. One of the great achievements in neuroscience is our detailed understanding of the circuitry and function of the visual system. A well-defined anatomical framework and an established parameter space for visual stimulation have expedited research on the computations performed by the visual cortex. A particularly productive approach has been to develop circuit models of the visual cortex based on its multiple input channels and to associate these microcircuits with the macroscopic functional areas of visual cortex type corticostriatal axons synapse in the ipsilateral striatum before continuing on toward the spinal cord. This differentiates them from intratelencephalic (IT) type corticostriatal neurons which cross the midline to project to the striatum and contralateral cortex but do not leave the telencephalon. IT and PT type neurons preferentially innervate direct and indirect pathway neurons of the striatum, respectively (Reiner et al., Neurons forming the corticospinal tract are predisposed to possessing movement tuning, but other descending pathways such as the rubrospinal tract are also heavily involved in motor control Lemon, . Nor is Movement tuning is a well-documented yet controversial property of motor cortex that has been successfully exploited for direct cortical control of neural prostheses (Hochberg et al., The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "This review is focused on discussing in some detail possible neuroprotective functions of microglial cells. We strive to explain how loss of these essential microglial functions might contribute toward the development of characteristic neuropathological features that characterize Alzheimer\u2019s disease. The conceptual framework guiding our thinking is provided by the hypothesis that microglial senescence accounts for impaired neuronal protection and consequent neurodegeneration. The role of CNS microglial cells in the development of Alzheimer\u2019s disease(AD) has been the subject of considerable interest since McGeer\u2019s initial description of reactive microglia in human AD brain in 1987 , and that it represents an immunologically subdued environment or ferrous (Fe+2) ions. We propose that the sequestration of free iron in the CNS by ferritin in microglia constitutes an important neuroprotective mechanism that becomes most relevant when there is a breach in the BBB and the possibility exists of free iron entering the brain parenchyma. The evidence for this mechanism of microglial neuroprotection is as follows: we and others have previously reported that many of the dystrophic (senescent) microglia in human brain are positive for the iron storage protein, ferritin A final aspect of microglial neuroprotection within the scope of this discussion concerns their emerging role in the regulation of the plasticity of neuronal circuits, that is, their involvement in the pruning/elimination and maintenance of synaptic connections. This aspect of the microglial functional repertoire was recognized for the first time more than 40\u2009years ago by Blinzinger and Kreutzberg , yet it via mitosis of resident cells undergo programmed cell death which reduces cell numbers back to baseline and certainly to studies in human brain which reveal a lack of A\u03b2 phagocytosis by microglia. Thus, the relationship between A\u03b2, microglial activation, and/or neuroinflammation remains enigmatic and perplexing even after more than 20\u2009years of intense research. If one also considers the alleged causal connection between amyloid deposits and neurofibrillary degeneration the picture gets blurred even more as this connection seems to grow weaker and evidence is mounting against rather than in favor of it.Countless studies in laboratory animals involving experimental CNS lesions have shown that microglia become activated rapidly in response to neuronal injury (Kreutzberg, Yet another issue that complicates our understanding of neuroinflammation in AD is found in the fact that primary infections outside of the CNS influence the state of microglial cells. In particular, sepsis, which is more commonly found in elderly patients due to compromised immune function, will induce microglial activation within the brain (Lemstra et al., The discovery of dystrophic microglia in human brain represents a critical step in conceiving the microglial dysfunction hypothesis because it raises the possibility that microglia are subject to senescence and degeneration (Streit et al., The morphological abnormalities that characterize dystrophic microglia have been described in detail before (Streit et al., With regard to the aforementioned neuroprotective roles of microglia, there are a number of interesting points to consider in terms of how deterioration of these neuroprotective functions could be critically important in the development of aging-related neurodegenerative diseases. Phagocytosis of debris by microglia is an essential cellular activity that ensures maintenance of a clean, debris-free brain parenchyma, and is conducive toward facilitating optimal interneuronal electrochemical signaling. A substantial decline in microglial phagocytosis due to cell senescence and/or degeneration would almost certainly contribute to NDD development (Neumann et al., For quite some time now the presence of increased brain iron and/or a disturbance in iron metabolism has been seen as a major factor contributing directly to free radical mediated neuronal degeneration (Jellinger et al., As mentioned, there is an increasing number of recent studies that suggest significant involvement of microglia in synaptic plasticity (Tremblay et al., As the brain\u2019s innate immune system one might be inclined to think of microglia primarily as immunological defenders that fight invading microorganisms. However, in so doing one underestimates their importance as supportive and neuroprotective glial cells essential for helping to maintain neuronal functioning in the normal CNS and especially their crucial involvement in CNS repair and regeneration during injury and disease. We believe that microglial neuroprotection constitutes a most important aspect of the cells\u2019 biological significance because it defines a single common denominator that contributes to improved understanding of CNS development, normal adult brain function, as well mechanisms of injury, disease, and repair. Specifically, with regard to aging-related neurodegenerative diseases, which represent one of the greatest challenges for biomedical science in this day and age, we think that the concept of CNS immunosenescence has considerable potential for advancing progress in terms of new and improved approaches toward treatment and prevention.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Diagnostic reproducibility and accuracy in cytology and histology are the main issues in Oncologic Screening of cervix, breast and colorectal cancer : it can be achieved by programs for quality assurance (QA). The slides set standard represents the most used method to compare diagnostic proficiency, the chance of interpreting microscopic digital photographs provided an interesting alternative to read conventional microscope slides.The whole digital slide observed in a computer screen is a third, interesting, option to reach the goal. In fact all the information on conventional samples are transferred into a file, easily archived, catalogued, duplicated or advice for quality control, but is especially available at distance and from multiple locations simultaneously with drastic reduction of time needed to achieve proficiency test reproducibility ., educational programs with integrated digital slides are poorly developed or proficiency tests for continuing education and professional updating are easily accessible.The production of digital slides with modern scanners is relatively simple and quick. All suppliers offer services into private or public networks server in the literature and softA project on Virtual Microscopy and Digital Pathology has been conducted in Emilia-Romagna Region with the goal to promote quality in diagnostic cytology and histology in Screening programs by testing a different system involving pathologists and cytologists using digital slides, with a faster and reproducible program easier to manage than standard diagnostic sets and by distance for retraining of patrhologists with a final consensus meeting.The aim has been reached with the realization of a management system for cytological and histological whole-slides digital images and related clinical data and the building of a picture archive and communication system (PACS) among pathologists of our (and probably other) region. This must be backed by software for the realization of network slide seminars to perform periodic diagnostic reproducibility and proficiency test. The cases, collected and properly catalogued in an online, easily accessible and systemic digital archive of slides, with diagnoses discussed in clinical and pathologic audit meetings and validated by experts, can be used as diagnostic reference tools (case registry online ). The cataloguing and indexing is performed with NAP codes derived from SNOMED , which cThe cancer screening group of the Emilia-Romagna Region set up a picture, archive and communication system (PACS) devoted to pathologists for cooperative diagnosis, teaching and training, teleconsulting, documentation of rare cases and pilot experiences; furthermore selected cases are catalogued in the PACS with the aim to check the diagnostic concordance in regional oncologic screening . The PACS system is made by two Aperio scanner and an adequate internet server where the described programs perform, . An e-learning platform (Docebo) has beenNowadays the diagnostic reproducibility has been performed in colorectal and cervical cancer screening , and for breast cancer is ongoing (Bologna June 2012). In all three slide seminars a number of cases have been selected by a committee of pathologists working in regional anatomo-pathologic units.Colorectal cancer screening was the first retraining slide seminar for pathologists performed with these features in our region and probably in Italy.Three regional units were involved by sending representative histological cases of all main diagnostic occurrences to test the diagnostic reproducibility; 28 histological cases were collected. A definite and limited time interval was indicated to study slides, then a consensus conference was organized in the same day.The second Seminar of QA to test the diagnostic reproducibility was performed in cervical cancer screening program; 30 cytological and 30 histological cases have been selected by a committee of pathologists among the cases proposed by the regional units. All main diagnostic occurrences were represented, basic clinical information and relevant follow-up information were available; the cases have been completely anonymized.A 30 days interval was indicated to study the slides, then a consensus conference has been programmed at the end of the evaluation to present the results and discuss cases. Before the meeting each participant received a report with the gold standard diagnosis performed buy the committee and her/his diagnosis and concordance result.colon-rectal QA and the diagnostic reproducibility have been evaluated matching their results with the final gold standard diagnosis reached during the consensus conference. The observed agreement was 69% and the overall performance of the participating pathologists was assessed with a statistical analysis using Cohen\u2019s kappa: the average value was 0.64 .15 pathologists of regional units attended the cervical cancer screening QA.95 cytologists and 32 histopathologists have been involved in the The diagnostic reproducibility has been evaluated using the final diagnosis reached in the consensus conference: in 2 out of 30 cytological cases the diagnosis was different from the diagnosis of the committee, while all histologic diagnoses were in agreement. The overall performance of the participating readers is reported in table Whole digital slide is suitable for proficiency tests and the internet e-learning platform allows to share cases and to get the answers from participants, in a easier way than by of a set of conventional slides.The quality of whole slides is very good, approaching optical microscopic resolution.In a cytological environment the bias is to get a perfect focus in all parts of the slide; the wider area of slide to examine and the higher number of diagnostic classes may justify a worse agreement of the pathologists and a poorer performance (lower Cohen\u2019s kappa) than histology.We have produced an integrated environment that includes many of the modern aspects of digital pathology that can be shared with the PACS system in many laboratories of the region, including quality promotion and control of image interpretation in cytology and histology applied to cancer screening."}
+{"text": "PopulatThe coding of single stimuli in population codes is relatively well understood , and in Theoretical studies have thWe investigate the theoretical implications of these findings by comparing different encoding strategies and examine the decoding accuracy. The goal is to find the optimal encoding scheme for multiple stimuli.We investigate the theoretical implications of these findings by comparing different encoding strategies and examine the decoding accuracy. The goal is to find the optimal encoding scheme for multiple stimuli.In our current study, we focus on the simultaneous coding of visual stimuli representing overlapping movements of two groups of points in different directions. We investigate different ways of decoding these, among them a Maximum Likelihood decoder and estimate error rates made by these predictors, comparing to maximum rule to a linear rule."}
+{"text": "To the Editor: Wagner and colleagues report nosocomial dengue transmitted by needlestick and note that it is the fourth case of nosocomial dengue to their knowledge (nowledge . In the nowledge . Three onowledge \u20135.We have recently published a case of nosocomial dengue infection that was transmitted by mucocutaneous exposure to blood from a febrile traveler who had recently returned from Peru . During We agree that nosocomial transmission may become more common in temperate areas as more travelers return home with acute dengue fever. As Wagner and colleagues pointed out, travelers visiting Southeast Asia have the greatest risk of acquiring dengue infections because of the high endemicity of these viruses there. Our report further illustrates the occurrence of dengue infection in the Americas and the"}
+{"text": "This article has been republished to address equation and symbol formatting errors and errors in figure citations. This republication addresses the errors referenced in the previous formal correction. The publisher apologizes for the errors."}
+{"text": "Type1 restriction modification system are intriguing multifunctional multisubunit molecular motors that can catalyze both restriction and modification activity. The type 1 RM enzymes binds to its target sequence and its activity as an endonuclease or methyltransferase is determined by the methylation state of the target sequence. If the target sequence is unmodified, the enzyme while bound to its target site is believed to translocate or pull the DNA towards itself simultaneously in both directions in an ATP dependent manner.The crystal structure of the motor subunit R has been determined by our group but the molecular mechanism by which these enzymes translocate and cleave the DNA is not fully understood.Our current research effort focuses on full-length three-dimensional structures of the R-subunit, utilizing computational and bioinformatics methods. Modelling of missing loops of residues of the crystal structure is done by Modeller9v2. Optimization of intersubunit contacts is performed by energy minimization followed by molecular dynamics simulations in solution at 300K. The dynamic behavior of WT and mutant holo and apo systems is explored by molecular dynamics simulation in GROMACS using the AMBER99SB force field. Conformational changes connected to coupling of translocation and endonuclease activity are observed and QM/MM methods are applied to calculate the contribution of the residue to the overall binding energy of ATP in the binding pocket."}
+{"text": "The goal of this Research Topic was to bring together articles representing the spectrum of current research aimed at understanding the functional organization motor cortex at the level of microcircuits.The original research articles in this collection address a wide range of aspects of motor cortex microcircuits. The monkey's motor cortex is an especially important model system because of the similarities to the human brain, and the ability to train monkeys to perform complex movements. However, information about the cellular composition of different primates has been limited; Young et al. now descin vivo dynamic activity across motor cortical layers in relation to movement. Harrison and Murphy (The review-type articles provide new syntheses of current knowledge about different aspects of motor cortex function and dysfunction. Kaneko focuses d Murphy emphasizd Murphy address d Murphy discussed Murphy review dd Murphy review ed Murphy review tWe are impressed not only with the diversity of contributions included here, but even more so we were delighted that researchers from all walks of motor cortex investigation enthusiastically steered their research toward the microcircuit theme pursued in this volume. More than ever it seems clear that we all are working toward a common goal, i.e., describing motor cortical function in terms of the transactions in identified cellular circuits. We thank the authors for their contributions, and are additionally grateful to the many reviewers who contributed their efforts."}
+{"text": "There has been a complete turnaround in scientific thinking about malnutrition as a protective factor to that of a major determinant of diabetes. Development of Type 2 diabetes is attributed to a combination of genetic susceptibility and precipitation factors in adult or early adult life. Current trials and preventive interventions are based on this gene-obesity model causing glucose intolerance necessitating food restriction for management. However when we compare the burden of low birth weight and intrauterine growth restriction with that of type 2 diabetes it can be hypothesised that good nutrition during intrauterine development and early childhood is more important. Foetal programming due to under nutrition can result in intergenerational transfer of long latency disorders.This hypothesis led to the establishment of the Pune maternal nutrition study and Pune children study involving cohorts. The Pune children study involving 400 children has completed 21 years of follow up and has shown an inverse relationship between birth weight and risk of diabetes mellitus measured by high glucose and high insulin levels. The maternal nutrition study which started with 2675 pregnant women in six villages has now completed 17 years. Both the mothers and children are being followed with very good follow up rates. The study involved consensus building among village leaders, consultation of experts, focus group discussions and training of local girls as Auxiliary Nurse Midwives (ANMs). The study involves assessment of weight and haemoglobin of young women, nutritional intake during pregnancy, foetal growth monitoring, biochemical assessments, storage of maternal and cord blood samples, detailed anthropometry at birth and continuing monitoring for cardiovascular disease risk markers. A steering committee of all stakeholders was constituted to oversee the study. The observations have shown that the intra abdominal fat content of Indian babies is higher. Low vitamin B12 levels, folate levels and high homocysteine levels are shown to be associated with low birth weight and insulin resistance in offspring. This demonstrates that maternal micro nutrient status influences risk of diabetes in the offspring and birth weight is a marker of intrauterine environment. Policy implications include ensuring the health of the young girl and addition of vitamin B12 along with folate for pregnant women. The biochemical estimation was made possible by storage of samples in biobanks which is a most useful resource for subsequent measurements, but there are ethical concerns and issues of subject approval."}
+{"text": "Docking is possibly the most widely used technique in structure-based drug design. It is recognized as extremely useful to guide the development of active molecules as well as in virtual screening to identify new leads. But docking is also notoriously imperfect and many aspects need to improve. In this talk I will present our work on two different sources of errors in the docking predictions: protein-ligand interaction potentials and internal energy of the ligands. The use of higher-level calculations offers an opportunity to obtain better quality results and offers a glimpse of the full potential of the technique, but introducing this information back into fast and general scoring functions remains a challenge."}
+{"text": "Several hypotheses have been proposed to explain the unexpected results of the first completed efficacy clinical trial of a vaccine against dengue virus C). This is distinct from vaccine efficacy against infection (VEI), and potentially a very important distinction.However, we believe that in addition to questioning the immune response elicited by the vaccine, it is important to discuss the interpretability of efficacy results for dengue vaccine trials that are based exclusively on clinical outcomes. The study by Sabchareon measured vaccine efficacy against clinically apparent infection are equal in the control and vaccine groups.VEC and VEI. I would seem to be ineffective in a trial based only on clinical outcomes.Dengue disease is caused by four interacting viral serotypes. Risk factors for symptomatic disease have not been fully characterized. There is substantial evidence that preexisting, naturally acquired immunity against a heterologous serotype is a significant risk-factor for the development of clinical disease C and VEI under different assumptions of the impact of prior heterologous immunity on the probability of symptomatic disease, we developed an analytical framework (C could lead to prematurely abandoning vaccines that could have promising population-level impacts or moving forward with an overly optimistic estimate of a vaccine's impact.To explore the agreement between VEdisease) . DiscardC and VEI also raises questions about one of the conclusion of this vaccine trial: that the \u201cabsence of any sign of disease enhancement\u2026in the presence of non-protective immune responses\u201d to DENV-2 serves as evidence against vaccine-induced enhanced severity of disease. With the inclusion of only clinical outcomes, it is impossible to know what number of individuals in the vaccine or control groups experienced infection and thus what fraction of infections experienced clinical outcomes. Tradeoffs between protective immunity and immunity that may predispose individuals to severe outcome again obscure the results.The discrepancy between VEC the primary measure of vaccines I will be necessary to determine the proportion of the population that needs to be vaccinated in order to control transmission. We acknowledge that measures of infection are imperfect and resource intensive, but surveillance for infection has been performed routinely in other cohort studies While we agree with WHO guidance that clinical disease should be the primary end point of dengue trials and thus VEText S1C and VEI.Description of the analytical framework developed to explore the agreement between VE(PDF)Click here for additional data file."}
+{"text": "The aim of the workshop is to explore the effects of footwear design on lower limb motion and discuss research findings relevant to the clinic and physical activity. Delegates will be actively involved in a motion capture process where important lower limb joint stress variables will be displayed in real time. The University of Sydney researchers will raise footwear issues from a range of areas such as children physical activity, adult walking and running, specific footwear such as thongs (flip-flops), dance and experimental methodology.During or on completion of this workshop, participants will be able to:\u2022 Critically analyse footwear characteristics that are likely to influence lower limb function during physical activity.\u2022 Experience the use of state of the art technology to analyse lower limb mechanics.\u2022 Discuss the models and methods used to build knowledge about the effect of footwear on lower limb mechanics.\u2022 Recount clinical and research outcomes for the effect of footwear on lower limb biomechanics during physical activity.\u2022 Apply biomechanical principles to the effective choice of footwear for a range of physical activities."}
+{"text": "Eating disorders can be a life threatening illness not only due to the effects of starvation, but also the effects of impaired capacity. At Robina Hospital, patients admitted with a BMI < 14 are admitted to the Acute Medical Unit (AMU) for nutritional restoration and medical management before being transferred to a suitable mental health ward for ongoing treatment.The AMU at Robina has been managing patients with eating disorders, in particular Anorexia Nervosa for a number of years. The treatment plan implemented by the Acute Medical team is considered to be of a very high standard by the Eating Disorders Outreach Service (EDOS), a specialist consulting liaison service provided by the Royal Brisbane and Women's Hospital. The AMU prides itself on developing a cohesive multidisciplinary team approach, striving for best practice management by utilising protocols and guidelines developed by the EDOS service.This presentation will discuss the experiences of the Acute Medical Team in managing eating disorder patients. It will outline the team structure, current practices and guidelines used and identify areas of improvement recognised through lessons learned.The aim is to present information and experiences that may assist other acute inpatient medical settings in managing eating disorder patients discussing evidence based strategies developed to support and improve the management and physical health of patients with eating disorders.Care in Inpatient and Community Settings stream of the 2013 ANZAED Conference.This abstract was presented in the"}
+{"text": "For the past decade the field of proteomics has transitioned from a highly specialized research area into a conventional technique widely employed by plant biologists. This approach now encompasses basic protein identification to advanced comparative studies. The result has been an abundance of proteomics data, often not readily available to the research community often represent the functional state of a protein and are a significant objective for many proteomic studies. A number of resources have been developed to interact with these phosphoproteomic datasets. Initial phosphoproteomic surveys involved Arabidopsis and one of the first phosphorylation-based databases created in any species was PhosPhAt (Arsova and Schulze, The proteomics community has created an array of online tools that can be used to support various technical approaches in mass spectrometry. The MRMaid utility was designed to facilitate the selection of peptides for targeted proteomic analyses (Fan et al., The range of proteome resources highlighted in this Research Topic reflect the diversity of proteomic-based applications in plant sciences. The principle objective for many these research groups has been focused on cataloguing or collecting data in an effort to capture information. Indeed, the creation of many data portals likely reflects an attempt to make sense of one's own data. This collection highlights the diversity and range of plant proteomic resources and utilities available to the plant research community."}
+{"text": "Information regarding the first and last authors is incorrectly omitted from the Competing interests statement. The Competing interests statement should read: \"One of the authors (Dr. Juhl) is affiliated with Indivumed, GmbH. A provisional patent application has been filed by Georgetown University related to the technology described in this paper. Drs. Wellstein and Shivapurkar are named as inventors on this provisional patent application.This does not alter the authors\u2019 adherence to all the PLOS ONE policies on sharing data and materials and does not provide a conflict of interest.\""}
+{"text": "More than 500 delegates and speakers from twenty countries gathered to hear about best practice and innovation in trauma care, pre-hospital care and major incident management. In addition the Norwegian Air Ambulance hosted a day devoted to air ambulance medicine and a parallel symposium examined key aspects of cardiac arrest. This produced to an expanded programme that appealed to a wide range of professional groups. This supplement describes some of the key points made by speakers and also focuses on two innovative aspects of training for penetrating trauma. Firstly resuscitative thoracotomy training for non-surgeons based on a one-day practical workshop held during the conference and secondly the training of young offenders to administer immediate care at the scene of injury \u2013 based on an abstract accepted for presentation. The posters and oral presentations submitted cover a wide range of subjects and the accepted abstracts are published at the end of this supplement. Dates for the 2013 conference can be found at http://www.londontraumaconference.com.The sixth London Trauma Conference was held at the Royal Geographical Society in London between 4"}
+{"text": "Information regarding a possible competing interest of the sixth author is incorrectly omitted from the Competing interests statement. The Competing interests statement should read: \"James A. Colbert was an editorial fellow at the New England Journal of Medicine. Navindra Persaud is an Associate Editor for the Canadian Medical Association Journal. Peter Gill is a member of the Editorial Advisory Board of the CMAJ. All other authors have declared that no competing interest exists. This does not alter the authors' adherence to all the PLOS ONE policies on sharing data and materials.\""}
+{"text": "There is a growing amount of literature to support the view that active involvement in research by consumers, especially informed and networked consumers, benefits the quality and direction of research itself, the research process and, most importantly, people affected by cancer. Our exploratory project focuses on identifying their priorities and developing a process to assess the research needs of Australian cancer consumers which may be useful beyond the cancer scenario.This project was consumer initiated, developed and implemented, with the assistance of a leading Australian cancer consumer advocacy group, Cancer Voices NSW (CVN). Such direct involvement is unusual and ensures that the priorities identified, and the process itself, are not influenced by other interests, regardless how well-intentioned they may be. The processes established, and data collection via a workshop, followed by a questionnaire to confirm and prioritise findings, and comparison with a similar UK exercise, are detailed in this paper.Needs across five topic areas reflecting cancer control domains were identified. Cancer consumers high priority research needs were found to be: earlier diagnosis of metastatic cancers; the extent of use of best practice palliative care guidelines; identifying barriers to cancer risk behaviour change; and environmental, nutrition and lifestyle risk factors for people with cancer. A process for identifying consumers\u2019 research priorities was developed and applied; this may be useful for further investigation in this under-studied area.The findings provide a model for developing a consumer derived research agenda in Australia which can be used to inform the strategic direction of cancer research. Consumers have been seeking a workable method to achieve this and have worked in collaboration with a major cancer charity, which funds research, to do so. Research is central to improving health and contributing to overall national development. Australia has made substantial investments in building and enhancing its health research capacity in recent years. Despite these efforts and some notable examples of success,2, the oNo public research funding program can afford to service all potential health research questions, each program must identify priority areas and questions. Within Internationally, there is an increasing call for public involvement in identifying health research priorities including distinguishing where and why resources should be allocated. GreaterThere is currently a limited understanding of the research needs of people affected by cancer in Australia. Moreover, published projects that specifically determine needs and gaps are few-21. TherA previous UK study found thThis project set out to investigate the views of those affected by cancer in New South Wales, Australia on what they consider should be the key priorities for future research in this area. The purpose of the paper is to provide information on the research needs of NSW cancer consumers and describe the priority setting process so that interested parties may duplicate the approaches used. The findings, key issues and challenges in the identification and utilisation of consumer research needs are discussed.This exploratory project adopted a participatory approach, where project ownership was shared with people affected by cancer. Cancer Council NSW (CCNSW), a leading non-government cancer charity and research funder, partnered with Cancer Voices NSW to design and implement an approach to capture cancer consumers\u2019 research needs. CVN, as a peak Australian cancer consumer group with members from all areas of the state of New South Wales had identified this work as a pressing need. Ethical approval was received from the CCNSW Ethics Committee.Constantly communicating with members is a critical, ongoing aspect of the work of CVN. The organisation routinely surveys its members to ensure an up-to-date understanding of the perceptions and experiences of cancer consumers and to support decisions that will best help people affected by cancer. CVN uses knowledge acquisition to support member empowerment and information, and inform broader policy and advocacy processes.Cancer consumers, including those impacted by the disease directly, or indirectly as friends or family members, were invited to participate through the following channels: (1) CCNSW website and constituent mail-outs, (2) CVN\u2019 s newsletter and networks, (3) cancer support group contacts and cancer care centres, and (4) via a range of cancer charities and consumer groups. The opportunity was also advertised in the volunteer section of a large, well known recruitment website.Global Cafe\u2019 approach, which had been recommended by CVN, was the main data collection method selected in this part of the project. The Global Caf\u00e9 process is a technique for harnessing group experience and views on a number of topics, and channelling this output into a usable data set[The methods used to capture consumer research needs were developed after careful deliberation of the support, funding and timeframe within which we were required to work. A workshop designed broadly on the \u2018data set.Data collected from CVN\u2019s own bi-annual survey on cancer research needs was included with an invitation to all participants. They were also asked to provide written input from their constituencies which was incorporated within the pre-workshop data to provide a robust list of consumer research needs.Prior to and at the commencement of the workshop, participants were provided with information to clarify their general understanding of cancer research across the cancer control spectrum from cancer prevention to screening, diagnosis, management, survival and end of life care. This was designed to focus thinking about cancer research and lead to more informed discussions of what should be researched. Each of these five topic areas became the individual focus of table discussions in the workshop. Participants at each table were asked to discuss the topic as a group, giving their rationale for research interests and then record those research topics they felt to be important on \u2018post-it\u2019 notes.Ideas and conversations of no more than eight participants at each table were linked and built upon as people moved to different tables, cross-pollinating ideas for each topic area and identifying research needs that mattered to their own lived experiences and/or those collected by their consumer network or group. The living network of conversations evolved through several rounds of exploration and research question identification until all participants had the opportunity to input into each of the five topic areas. A cancer researcher or CCNSW research program staff member acted as an advisor on each table for participants\u2019 questions, and if participants required information on research currently being undertaken in the area. The advisors brought discussions back to the issue of research needs if discussions began to go \u2018off track\u2019. A pre-selected consumer table host remained at each table and briefed new table arrivals on previous discussions to ensure each new group built on the topic in an iterative exchange process. The needs identified through the small group process were then fed back by the consumer host to the whole group and discussed. This enabled an effective summary of the discussion and also permitted any additional views not covered in the small group to be raised.To verify the workshop results and achieve higher quality results CVN canvassed their membership of over 300 consumers who had been affected by cancer or were interested in cancer control via a general postal questionnaire. A few had attended the workshop. The questionnaire, planned and developed by SC and CS, and tested for readability and ease of understanding by another member of CVN, invited personal reflection on the research needs of consumers. Included with the questionnaire was an explanation of the workshop process and results to ensure an understanding among members of the context within which the questionnaire was sent. CVN members were asked whether their needs reflected some or all of those identified in the workshop. Members were also asked to rate their research needs from 1 to 5, with 1 being their highest research priority. They were asked to identify 5 priorities in each section.Members were asked to send their responses back to CVN in the included stamped, return addressed envelope. Details of the process steps employed in the project are provided below.Steps in the consumer research needs and priorities identification process1. The requirement for cancer consumer involvement in identifying research needs is established by consumers and acknowledged by professional partners who commit resources and coordination support to the process.2. A project reference group is established to support the design and implementation of the consumer research needs identification process.3. Consumer research needs identification approach is clarified and agreed by all parties.4. Participant recruitment is planned and carried out.5. Global Caf\u00e9 workshop process is developed in detail by the project reference group.6. The information needed for the workshop is identified and assembled, such as on the cancer control research domains, to help inform participants\u2019 discussions during the workshop and help them build on existing knowledge during their exchanges.7. Pre-workshop input from members of each consumer group represented at the workshop and the results of previous Cancer Voices NSW survey results are collected for incorporation with the data and information obtained in the workshop.8. Workshop conducted as planned using the Global Caf\u00e9 process.9. The research needs of cancer consumers are confirmed at the end of the workshop. Follow-up via an emailed report of the workshop outcomes is undertaken to ensure that the final research needs truly reflect the views and advice expressed during the workshop.10. Workshop findings are strengthened via CVN postal questionnaire to members.11. The final identified priority issues are compared with a similar project to support the generalisability of the results and help ensure that the priorities are not just intrinsic to this project\u2019s particular process or participants12. A final report is disseminated to consumer groups, research funding and research organisationsPost-it note entries, which were automatically categorised within each of the five cancer control research areas discussed by the workshop table groups, were examined. Repeating issues were identified and summarised. An independent assessment of all data by two members of the project team (CS and SC) was undertaken to ensure consistency in the interpretation of the data.Member priorities were analysed using SPSS version 16 for Windows and are Thirty two people with direct experience of cancer across different cancer types responded to the invitation to participate in the workshop. This number was accepted as workable for the purpose and the process. Participants ranged in age from 18 to 72 years. More females (n=18) than males (n= 14) attended the workshop. Consumers identified needs across the five cancer control research domains with cancer treatment drawing the greatest number of identified issues. Needs across the domains ranged from a better understanding of unhealthy behaviours such as smoking and sun exposure, to researching factors related to differences in cancer outcome due to personal and geographical inequity, and better understanding the cancer control needs of vulnerable groups such as older people, culturally and linguistically diverse and indigenous people. Improvements in health systems and professional capacity to better meet the needs of the population and quality of life issues for cancer patients, carers and significant others were also deemed to be important areas for inquiry.An overview of the identified needs within the cancer research domains from which they were raised are provided below.Prevention and risk\u2022 How can media improve understanding (and behaviour change) of cancer risk factors linked to personal behaviours, with attention to confused use of relative and absolute risk messages?\u2022 Definitive research into nutrition and other lifestyle risk factors and cancer development\u2022 What are the barriers to cancer risk behaviour change and how can positive behaviour change be encouraged?\u2022 What is the need in Australia for a rare cancer registry to increase volume of and ease of access to information about these cancers?\u2022 What are the perceptions of cancer in culturally and linguistically diverse (CALD) communities?\u2022 How can barriers to prevention be removed and cancer awareness raised amongst CALD groups?\u2022 How can young people be better supported to understand cancer risk?\u2022 Further research into cancer clusters\u2022 Further research into environmental risk factors for cancer development\u2022 What are the most effective interventions for dispelling myths and misconceptions about the causes of cancer in our community?\u2022 Impact of technology on cancer risk \u2013 eg mobile phones, CT scans, etc.\u2022 Degree of impact of multi risks in causing cancers\u2022 Do prevention messages cause unnecessary feelings of guilt and self blame?What is best use of public health dollars re cancer prevention?Screening and diagnosis\u2022 How can behaviour be changed to improve cancer screening rates?\u2022 What steps are needed to increase skin cancer screening?\u2022 What are the most effective channels for consumers to access information about cancer?+ age group\u2022 What is the cancer screening benefit for 70\u2022 What is the scale of exposure to diethylstilbestrol in the Australian communityWhat are the perceptions and barriers to cancer screening among different cultural groups?\u2022 What interventions work best to increase cancer screening in different cultural groups?\u2022 What interventions work best to increase cancer screening in indigenous groups?\u2022 What are the best approaches to meet the cancer information needs of different groups?\u2022 Investigate genetic testing services in Australia to determine and compare service effectiveness across different population groups and localities\u2022 What is the role and capacity of the general practitioner in encouraging patients to undertake cancer screening?Is general practitioner training to detect early signs and symptoms of cancer adequate?\u2022 What constitutes a supportive workplace when cancer is diagnosed?\u2022 How can metastatic cancers be diagnosed earlier, preferably before symptomatic?Treatment\u2022 More investigation into targeted therapies and personalised medicine for all cancers\u2022 Which cancers will benefit from development of immunotherapy?\u2022 Identify best practice treatment protocols and guidelines for all rare cancers\u2022 Overview of research relating to patient treatment profiling for all cancers\u2022 Which drugs available overseas but not to Australians should be fast tracked?Determine which advanced cancers have yet to have treatment guidelines and address\u2022 Are elderly Australians offered adequate cancer treatment & management?\u2022 What is the difference in cancer treatment decisions of those living in rural, regional and remote areas?\u2022 What are the preferred treatment choices of CALD and Indigenous groups in Australia compared with best practice management?\u2022 Is access to best practice cancer treatment determined by cost in Australia? What impact does this have on health outcomes?\u2022 Investigate the extent and causes for the under representation of particular groups in cancer clinical trials i.e. older people, rural, minorities etc.\u2022 What are the levels of access to cancer clinical trials for residents of rural Australia?\u2022 Is there equity in cancer treatment throughout Australia?\u2022 How can people living in rural areas be best supported emotionally and financially to receive best practice cancer management?\u2022 How can elderly cancer patients be best supported in self management?\u2022 What are the best approaches that health care providers can use to prevent or alleviate patient guilt at cancer diagnosis?\u2022 How can medical care providers be best trained to deliver a cancer diagnosis that is aligned with the patient and family\u2019s level of understanding, emotional and support needs?\u2022 How effective is the communication between different the medical specialists for those with cancer and unrelated co-morbid conditions?\u2022 To what extent are general practitioners \u2018kept in multidisciplinary care loop\u2019 of cancer patients?\u2022 What value does multidisciplinary care provide cancer patients?\u2022 What is the currency of cancer specialist and General Practitioner evidenced based knowledge?\u2022 What is the current and predicted need for additional geriatric oncologists in Australia?\u2022 More clinical trials investigating the effectiveness of complementary therapies in cancer control\u2022 How can greater awareness of clinical trials in patients and clinicians be better supported?\u2022 How user friendly and accessible is cancer patient prescription drug information?\u2022 How can we maximise knowledge transfer among researchers working on different cancer types and research disciplines?\u2022 What are the training needs of personal carers of cancer patients and the current availability of such training?\u2022 What are the variations in response to pain management?\u2022 Identify more effective pain management for cancer patients\u2022 Identify individualised pain management interventions\u2022 How can chemotherapy be made less toxic?\u2022 How can the side effects of treatment be better managed?\u2022 What are the different needs of men caring for women with cancer; and women caring for men with cancer?\u2022 What is the extent of carers of cancer patients who are socially isolated and what are their service and support needs?\u2022 What is the extent of carers of cancer patients who are depressed and what are their service and support needs?\u2022 Survivorship\u2022 How can the long term effects of chemotherapy be best addressed?\u2022 What are the particular needs and wants of people living with cancer who do not have adequate social capital?\u2022 What is the level of fear of cancer recurrence among survivors?\u2022 How can the normalisation process be supported ?\u2022 What are the long term effects of repeat diagnostic or prognostic scans for cancer survivors?\u2022 More studies on the effects of chemotherapy on long term cognition\u2022 What is the extent (and intervention availability) of male and female fertility issues post cancer treatment?\u2022 What are the best approaches that can be used to establish and sustain cancer support groups in rural areas?\u2022 Is cancer survivorship related to a greater chance of personal relationship breakdown?\u2022 How can children caring for adults with cancer be best supported?\u2022 What information to survivors need and who should provide it?End of life care\u2022 What is the extent of use of best practice palliative care guidelines \u2013 for patients, carers and family? Gaps?\u2022 What are cancer patients' attitudes to dying with dignity and control?\u2022 Is access to good information about end of life issues , adequate?\u2022 What are the most effective interventions to ensure palliative care service availability in rural and remote areas?\u2022 What is the acceptability and impact of a professional support person in improving the experience and outcomes of those with advanced cancer?\u2022 What extent do different social environments impact on end of life care?\u2022 What are the long term affects and counselling and support needs of carers after the death of a loved one?\u2022 What is it that people value about dying at home? What is it they fear about dying elsewhere?\u2022 What are the needs and areas of unmet needs for respite care for patients and families?\u2022 What is the impact of differing views about end of life, of patient and carer, if any?how can metastatic cancers be diagnosed earlier before they are symptomatic?\u2019 as their greatest research need. The second highest priority research questions (32%) were found to be \u2018what is the extent of use of best practice palliative care guidelines?\u2019 and \u2018more research into nutrition and lifestyle risk factors for people with cancer\u2019 Other high priority research areas include identifying the barriers to cancer risk behaviour change and research into environmental risk factors.Fifty seven (19%) of CVN members completed and returned the questionnaires. The majority of respondents were female (56%) aged between 61\u201370 years (41%). The large majority of respondents reported that the research needs identified at the forum reflected either all or some of their needs (98%) with almost 60% stating they reflected all their research needs. One third of members (33%) identified the research question \u2018The most common research priorities across all respondents\u2019 first to fifth selections were:\u2018How can the long term effects of chemotherapy be best addressed?\u2019 (selected in the top five priorities of 77% of respondents)\u2022 \u2018How can behaviour be changed to improve cancer screening rates?\u2019 (selected in the top 5 priorities of 75% of respondents) and\u2022 \u2018How can the normalisation process be supported ?\u2019 (selected in the top 5 priorities of 68% of respondents).\u2022 This exploratory project facilitated identification of cancer consumers' priority research needs over five topic areas reflecting major cancer control domains. These were found to be earlier diagnosis of metastatic cancers; the extent of use of best practice palliative care guidelines; identifying barriers to cancer risk behaviour change; and environmental and nutrition and lifestyle risk factors for people with cancer. A process for identifying consumers\u2019 research priorities was developed and applied; this may be useful for further investigation in this under-researched area.The findings of this project should not be considered in isolation. Consumer research priorities are neither better than nor a replacement for priorities identified by health researchers. They are made available via this project and a range of other published investigations to support researchers to both understand prevailing consumer concerns and needs, and to support and inform decisions on what to research. Ideally consumers and researchers should always work together to identify and detail research topics.The paucity of Australian research in this area necessitated the use of a broad exploratory approach. The main limitation is the generalisability of findings for a larger population of cancer consumers. However asking consumer organisation representatives to collect the research needs of constituents prior to the workshop is likely to have reduced this problem, as is the comparison of findings of this project with those of a much larger UK study. The similarity between our results and the UK study results suggests that our results are comparable to other populations of cancer patients.A further limitation is the low response rate (19%) to the postal questionnaire. However, we believe that this low number can be explained in part by the belief among numerous CVN members that they had already provided input on the topic in previous forums. We therefore believe that the views of non-responders are not substantially different from responders.The findings of this project provide the basis for developing a consumer derived cancer research agenda in Australia, and can be used to help inform the strategic direction of cancer research over the longer term. They also provide direction for cancer care, education and information funding. Australia does not have adequate channels through which community members can express their research priorities or through which they can receive information about the broad scope and success of research being made in the fields with which they are concerned. Lack of recognised processes and resources to collect and analyse relevant information from consumers represents an important obstacle to context and culturally sensitive research needs identification in Australia. At the same time, societal expectations of health and medical research are growing.Global Caf\u00e9 method is a user-friendly approach for generating meaningful and cooperative discussion within and between different groups.The study sought to harvest diverse input from cancer consumers on the issues they need addressed through research. Identifying research needs can be challenging. What processes should be used to determine needs? How can this be done in a systematic, ongoing and efficient manner? What timelines for action should be assigned? This paper adds to the small range of available successful approaches that can be used to capture the research priorities of those directly affected. The It has been argued that consumers do not have adequate understanding to identify useful research priorities. This maDecision makers in publicly funded research systems are under growing pressure to improve priority setting processes and to be more accountable for research funding decisions. There is currently no established structure or mechanism in Australian public research funding schemes that allows consumer research needs to be incorporated. Researchers require training to understand and appreciate what is happening in health and health care overall, and with those adversely affected by too few research answers. Long term partnerships with the end recipients of research provides experiential and contextual learning that are the key to ensuring research is of benefit to and is valued by society. Liaising with intellectual colleagues and attending scientific seminars and conferences alone are unlikely to provide insight into the experiences of those with health problems. Researchers need to be inspired by the individuals and families of those in need of the benefits of focussed research.Earlier diagnosis of metastatic cancers; an understanding of the extent of use of best practice palliative care guidelines; identifying barriers to cancer risk behaviour change; and environmental and nutrition and lifestyle risk factors for people with cancer, were found to be the most pressing needs of cancer consumers on the subject of cancer research. The findings of this study offer a workable process for identifying the research needs of health consumers and may be applicable to scenarios other than cancer.In an era where research is making important progress in our understanding of disease causation and avoidance, and identifying real and potential cures, hopes are pinned on every piece of research to drive more progress. Today\u2019s more informed society is eager and able to encourage a purposeful research culture and direction. Hence, we see the need to build and maintain a critical mass of researchers who are competent in partnering with consumer groups, which in turn can offer capable consumer representatives. This partnership will lead to joint needs identification and priority setting, and to performing quality research of societal relevance.Neither author has any competing interests to report.Both authors contributed to the design of the project. CS undertook the review of the literature, facilitated the workshop, undertook data analysis and was the main author of the manuscript. Representing Cancer Voices NSW, SC brought this consumer initiative to the CCNSW for possible implementation. SC was a working member of the key reference group, assisted in facilitation of the workshop, organised the postal questionnaire, undertook data analysis and contributed to the preparation and editing of the manuscript. Both authors have read and approved the final manuscript."}
+{"text": "Over the past several years there has been growing interest in the high prevalence of vitamin D deficiency in both the general population and among people living with HIV infection. Vitamin D deficiency in the setting of HIV infection is likely multi-factorial with contributions from environmental factors as well as possible associations with HIV therapy. This lecture will highlight recent data on the prevalence and possible consequences of vitamin D deficiency in the setting of HIV with a focus on the relationship between vitamin D deficiency and HIV disease progression and possible metabolic and inflammatory consequences of chronic vitamin D deficiency. Finally, the talk will attempt to shine a light on areas for further investigation."}
+{"text": "Uterine fibroids are the most common gynaecological tumours found in women. These tumours are said to be present in 80% of Caucasian women and are even more common in women of African origin. In 50% of women with fibroids symptoms usually occur, leading to complications from the presence of these fibroids. Although they are mainly a problem in the reproductive years, there are reports of problems from fibroids in postmenopausal women.The management of patients with fibroids is quite variable including conservative oral and parenteral treatment, conservative and radical surgery, and newer techniques such as uterine artery embolisation and radiofrequency ablation. All of these techniques can also cause complications for the patient, and as a result careful evaluation of patients must be done to decide on the correct treatment option for a particular patient.The focus of this special issue is to highlight the complications which are caused by fibroids and also those which can arise as a result of the treatment options available. This is intended to assist clinicians and their patients in making informed decisions about the management of this common problem. The journal is the effort of a truly international group of clinicians giving varied experiences from across the world.Complications of uterine fibroids and their management\u201d is from Jamaica and outlines the entire spectrum of complications of fibroids and their treatment. This is a good review of the modern methods available and should be helpful to clinicians to assist them in counseling their patients.The paper entitled \u201cInnovative oral therapy for uterine leiomyomas\u201d is a collaborative effort of clinicians from Egypt and the United States of America (USA) reviewing the use of oral therapy for the treatment of fibroids. This paper gives an update on the modern use of drugs to treat fibroids to avoid surgery.The paper entitled \u201cSurgical management of uterine fibroids at Aminu Kano Teaching Hospital\u201d is from Nigeria, and this paper discusses use of myomectomy versus abdominal hysterectomy in their setting. The authors have outlined their experience and given the reader an idea of their methodology and complication rates comparing the two procedures.The paper entitled \u201cIntrauterine adhesions following conservative treatment of uterine fibroids\u201d is from Sweden and Spain discussing the complication of intrauterine adhesions reminding readers how to diagnose and treat this often forgotten complication of surgical treatment of fibroids.The paper entitled \u201cIndications and outcomes of uterine artery embolization in patients with uterine leiomyomas\u201d is from Japan, and the paper entitled \u201cComplications associated with uterine artery embolisation for fibroids\u201d is from the United Kingdom. Both papers discuss their experience with uterine artery embolisation. The complications from both sites are outlined.The paper entitled \u201cRadiofrequency ablation for treatment of symptomatic uterine fibroids\u201d is from the United States and the United Kingdom and reviews the use of radiofrequency ablation to treat fibroids. This is an excellent review detailing older now archaic methods and outlining the more modern safer techniques used in their setting.The paper entitled \u201cOverall this journal is an excellent resource for physicians who wish to review uterine fibroids as well as all the methods available to treat them. The complications of fibroids are outlined in detail, and the different treatment modalities and possible complications are also outlined. This should become a standard compendium on fibroids for students and physicians for the benefit of increasing knowledge for examinations as well as the proper counseling and management of patients.Horace FletcherHorace FletcherCelia BurrellCelia BurrellBharat BassawBharat BassawEarlando ThomasEarlando Thomas"}
+{"text": "The aims of the study were to examine: (1) the relationship between parental income and schooling and using Complementary and Alternative Medicine (CAM) for their children; (2) the relationship between giving the recommended vaccines and usage of CAM for children; and (3) the frequency and characteristics of CAM usage in children from different socio-economic layers.The study was done via a self-reporting anonymous questionnaire by parents of 535 children, in 5 primary care pediatric clinics located in different areas in Israel, representing a population from different socio-economic classes.Twenty-seven percent of the respondents reported that they used CAM for at least one child in their family. Parents with higher education and income used CAM more than less educated parents and those with lower incomes. Parents who have tried CAM for themselves used it also for their children. Parents who have not vaccinated or partially vaccinated their children used CAM more than parents who gave their children all of the recommended vaccines. Parents tend to attach importance to the pediatrician notification for using CAM.A significant portion of the population use CAM for children. CAM use in children was more frequent among families in a high socio-economic level. Most of the parents who used CAM for themselves did the same for their children, due to their positive experience and their desire to improve the health of their children using other methods outside of conventional medicine. Parents who tend not to vaccinate or partially vaccinate their children were more likely to use CAM, because this treatment is perceived as more \u201cnatural\". The common use of CAM in children requires raising the awareness and knowledge of pediatricians to this phenomena and improving the communication between parents and pediatricians regarding CAM usage, for the benefit of the children."}
+{"text": "Storing chemical structures and reactions in relational databases with the aid of database extension modules usually called cartridges is an industry standard. Typically such cartridges provide a fixed set of functions to facilitate structure queries , chemistry data file import and export, sometimes structure manipulations or standardizations, and occasionally a defined set of property computations. We extend this model by transplanting a complete scriptable chemical information processing toolkit into a database extension. With the aid of this tool a new realm of custom chemistry data operations and queries can be accessed directly in the database, and by means of SQL functions that can be used in any SQL statement. We discuss the design of the software and prototypical solutions this it can deliver."}
+{"text": "Cerebral cortex is generally thought to provide the neural basis for higher cognitive and perceptual functions and via an iPad or iPhone \u201capp.\u201d From the results, the authors were able to propose how particular groups of neural pathways centered around cerebral cortex might subserve specific cognitive functions. This article illustrates the importance of a comprehensive neuroanatomical assessment of a complete brain.A solution to this Neuroinformatics challenge is important for progressing the discovery of cortical wiring principles. In an ambitious study (Solari and Stoner, Overall, we think this Research Topic demonstrates the complexity and diversity of cortical organization and the wide variety of approaches that can and have been made to understand how we think and perceive. We hope the reader will find something here to stimulate their curiosity concerning a topic of considerable importance to the individual and society."}
+{"text": "Idiopathic toe walking (ITW) is a condition that commonly presents to podiatrists. This presentation aims to give an overview of the quality of literature focused on the treatment of ITW and determine if common podiatric treatment modalities are evidence based. 24 articles reporting treatment modalities were appraised against the National Health and Medical Research Council Levels of Evidence. There currently is no evidence of any single treatment option having long term effect on ITW gait. The highest level of evidence was in support of serial casting or surgery with some evidence supporting the use of Botulism toxin Type A.Footwear and orthotic intervention with or without stretching programs are reported treatments with no rigorous studies to support these modalities yet anecdotally these are reported effective. This article aims update the knowledge of podiatrists, to enhance how children who present with this gait style can be managed and highlight areas for future research."}
+{"text": "Strain of the myocardium is conventionally presented in the polar coordinate system since it adapts best to the morphology of the heart. Strain calculation would be facilitated considerably if the CMR tagging patterns were in the radial or circumferential direction. However, the CMR tagging is implemented mostly in the Cartesian coordinate system as it is prescribed by SPAMM technique in which the gradient fields create only parallel taglines. Radial tagging is not used widely due to SAR problem for tight radial pattern. Implementation of circular tagging, to the best of our knowledge, has not been reported yet. Here we introduce an approach that makes both patterns possible for tagging based on off-resonance excitation. Its theoretical basis and practical details as well as initial results in phantoms and human hearts are presented.A rotating excitation plane in combination with a continuous RF pulse results in substantial excitation on a patterned region using off-resonance effect. A spoiler gradient destroys the net transverse magnetization on the region and generates the tagging with the specified pattern. The actual implementation of these cine sequences was performed on a commercial imaging platform by using developmental software .The developed sequences were tested on phantoms and applied on healthy volunteers Figure . Images New tagging sequences were theoretically described and actually implemented. The sequences have been successfully tested on phantom and also used to acquire short axis images of the left ventricle. The spatial resolution and density of taglines for the radial tagging are considerably higher compared to its previous schemes and allows for relatively simple derivation of myocardial shear rate and angular strain."}
+{"text": "The recommendations are presented with supporting evidence level.In this report, guidelines for the evaluation, medical and surgical management of renal cell carcinoma is presented. It is categorized according to the stage of the disease using the tumor node metastasis staging system, 7 Renal cancer represents the third common genitourinary cancer in Saudi Arabia after urinary bladder and prostate. It accouAll cases of renal cell carcinoma should preferably be seen or discussed in a multidisciplinary forumth edition was usedThe American Joint Commission on Cancer Staging TNM 7The Memorial Sloan Kettering cancer center risk classification for metastatic disease will be used: Risk facEach of the above gives a score of one. Patients will be classified according to the total score as follows:"}
+{"text": "To the Editor: The recent article by Louie et al. underscores a more general disparity between the need for autopsies in potential infectious disease deaths and our present national capacity that prevent pathologists from enthusiastically performing autopsies on those who died of potential infectious diseases, including prion diseases. One potential solution is the creation of regional centers of excellence for infectious disease autopsies that could operate in conjunction with a mobile containment autopsy facility ,6. Such"}
+{"text": "Drosophila has a primitive yet effective blood system with three types of haemocytes which function throughout different developmental stages and environmental stimuli. Haemocytes play essential roles in tissue modeling during embryogenesis and morphogenesis, and also in innate immunity. The open circulatory system of Drosophila makes haemocytes ideal signal mediators to cells and tissues in response to events such as infection and wounding. The application of recently developed and sophisticated genetic tools to the relatively simple genome of Drosophila has made the fly a popular system for modeling human tumorigensis and metastasis. Drosophila is now used for screening and investigation of genes implicated in human leukemia and also in modeling development of solid tumors. This second line of research offers promising opportunities to determine the seemingly conflicting roles of blood cells in tumor progression and invasion. This review provides an overview of the signaling pathways conserved in Drosophila during haematopoiesis, haemostasis, innate immunity, wound healing and inflammation. We also review the most recent progress in the use of Drosophila as a cancer research model with an emphasis on the roles haemocytes can play in various cancer models and in the links between inflammation and cancer. Drosophila has undoubtedly been a powerful model organism for the study of nearly all essential and fundamental biological processes. What we have learned from the fruit fly has expanded our knowledge in life science at an unprecedented speed. This is in particular due to the recent availability of the complete annotated genome, a versatile array of genomic modifying techniques and powerful life imaging tools. Cellular and molecular mechanisms underlying many basic biological processes have been discovered to be highly conserved between Drosophila and mammals. For example, the Notch, Hedgehog (Hg) and Wingless (Wnt) pathways first identified in Drosophila embryogenesis and the Runt and Hippo signaling pathways conserved in the Drosophila haematopoiesis and tissue growth are also implicated in the progression of various human cancers and innate immunity with such precision that the time is now ripe for us to look into the active dialogs between these fundamental processes in the context of mammalian inflammation and cancer. Drosophila has a primitive open blood circulation system with only three types of blood cells or haemocytes circulating in the haemolymph during a fly's life span. The majority of the circulating haemocytes in the haemolymph are macrophage-like cells that engulf and degrade apoptotic cells and invading pathogens. Haemocytes perform vital roles through their contribution both to cellular and humoral immune responses in the fly. In combination with the currently well-developed Drosophila tumor models, the roles of haemocytes in tumor regression and/or progression can be explored and important clues can be obtained to understand further the inflammatory responses in relation to tumors; the focus can be directed more at the molecular and cellular level by use of sophisticated genetic manipulation and live imaging tools. Tian Xu and colleagues have done pioneering work in this direction by using a Drosophila tumor model to investigate the role of haemocytes in the tumor growth control during a systemic inflammatory response direct killing by Antimicrobial peptide (AMP) released into haemolymph from rapid de novo synthesis in the haemocyte and fat body; (2) direct killing by Hydrogen Peroxide (H2O2) or Nitric Oxide (NO) agents produced during melanisation; and (3) immobilization of opportunistic pathogens by blood coagulation at an open wound Dizzy was also identified to be required for the embryonic haemocyte migration signaling which is also used by the mammalian neurophils in response to chemotaxic cues Basket (Bsk) and Rac1. Bsk is also found to regulate the turnover of focal adhesions in the circulating haemocyte in the larva investigated the integrin adhesion activation and maturation in the migration of the sessile haemocyte population in the late larval stage into pupal stage and also stress/danger signals into the nucleus. Dorsal and Dif are homologs of mammalian p50 and p65. Apart from these secreted cytokines, a cytoplasmic lysosomal protein called Psidin has been found to be the link between the haemocyte phagocytosis and AMP activation in the fat body in the larval immune response is the enzyme required in melanisation to catalyze the oxidation of mono- and di-phenols to ortho-quinones, which polymerize into melanin. PPO in normal physical conditions is enzymatically inert. A serine protease known as prophenoloxidase activating enzyme (PPAE) acts upstream to cleave and turn PPO into active phenoloxidase (PO). Like PPO, PPAE also exists as an inactive zymogen and it is processed by a tightly regulated serine protease cascade in a step wise way into enzymatically functional form leading to the final melanin formation. As in other invertebrates, a recent in vitro study on the Drosophila PPOs suggested a direct binding of PPOs to bacteria and fungi which might play a role to initiate their activation mutant with aberrant crystal cells , Zir and Fondue. Drosophila TF is the only mammalian blood coagulation factor homolog (Factor XIIIa) found in the fly and uses Fondue as its substrate to form the blood clot. Unlike hemolectin (hml) mutants shown to affect only coagulation expressed mainly by plasmatocytes is required in blood coagulation. Blood coagulation led by plasmatocytes is independent of both melanin production and phenoloxidase activity, which is also part of the wound healing process primary clot formation during blood coagulation: larvae bleed following the puncture wounding and the primary clot forms in the wound gap; (2) scab and syncytium formation: the primary clot is further cross-linked and hardened by melanisation to form a scab while epidermal cells surrounding the primary clot migrate toward it and then fuse to form a syncytium; and (3) central syncytium formation: more epidermal cells are attracted to the initial synticium and a larger central syncytium forms. JNK pathway is activated in the epidermal cells of the syncytium in a gradient manner to emanate signals for the epidermal cells to move along or through the wound clot to rebuild a continuous epithelium with its basal lamina and apical cuticle lining. Crystal cells are the haemocyte required in the formation of the scab. The scab stabilizes the wound site, establishes a physical barrier to the external microbes, prevents the over-activation of JNK pathway which can result in chronic wounding and provides a scaffold for re-epithelialisation. Scab forming and wound closure are controlled by independent genetic and signaling pathways as re-epithelialisation can still be activated at the wound gap though it never heals in the absence of a scab and the remote internal tissues in a process similar to systemic inflammation in mammals.In a study to reveal the genetic and molecular networks in control of systemic wound response after physical wounding in Drosophila embryo laser wounding model and it is revealed not surprisingly that a coordinated process exists involving myosin, E-cadherin, Echinoid, the plasma membrane, microtubules and the CDC42 small GTPase which respond dynamically during wound repair to larvae. The ROS stress in the gut induces NO expression and transduces the signal to haemocytes by a NO dependent pathway which give rise to both the myeloid and lymphoid lineage. Mammalian HSC possesses the ability to self-renew and the pluripotency to differentiate into a great variety of blood cells in response to signals from its microenvironment, which has been termed the HSC niche while the mammalian JAK/STAT can be activated by a large group of cytokines and growth factors. Dom is the only transmembrane receptor upstream of one JAK kinase (Hop) and the one STAT transcription factor (STAT92E). Therefore the misexpression of a dominant-active form of STAT92E can also promote tumorigenesis in the eye of the Drosophila adult flies and melanotic tumor formation in the larva , Sima, activates full length Notch receptor under conditions of normal oxygen availability and commits the prohemocyte to the crystal cell lineage the role of Hippo signaling pathway in control of cell growth and survival together with Scrib/Dlg/Lgl signaling pathway in cell polarity to regulate organ sizes; was isolated 70 years ago. However only recently has Lgl been identified as a component of a signaling circuit in the regulation of apico-basal polarity in epithelial cells: Scrib/Dlg/Lgl in the Drosophila eye imaginal disk and screening for the entire Drosophila genome, Pagliarini and Xu indentified Scrib as the promoting factor for the metastatic transformation of the otherwise benign tumor caused by overexpression of Ras oncogene alone (Pagliarini and Xu, Drosophila eye as an in vivo \u201ctest tube\u201d to investigate genetic interactions during tumor progression has proved to be extremely fruitful in dissecting the Scrib tumor suppressor signaling pathway and Hippo pathway and human oncogenes and tumor suppressors such as Ras and PTEN. Critical reviews of the most recent progress in the use of Drosophila in cancer modeling and therapeutic potentials can be found elsewhere (Miles et al., Despite a very short life span, cancer research to investigate directly the tumor progression and invasion in Drosophila, the interplay of innate immunity mediated inflammation and tumor growth and invasion can be investigated accordingly. Of note is the establishment of Drosophila intestinal tumor model to study the molecular and cellular mechanisms linking inflammation and cancer pathogenesis (reviewed in Christofi and Apidianakis, Drosophila cytokines Upd1-3 have been reported to activate the JAK/STAT signaling in promoting intestinal stem cell proliferation upon enteric infection or JNK-mediated stress response and thus the innate immunity plays essential roles in gut tissue homeostasis (Jiang et al., Drosophila Ras oncogene in association with bacterial infection can result in the formation of intestinal dysplasia (Apidianakis et al., v12Scrib\u2212/\u2212 model in the Drosophila eye disks, which has been used to offer complementary views of systemic innate immunity to tumor growth and invasion. Under the condition of established tumor, the Drosophila haemocyte could be recruited to the tumor site and tumor associated haemocytes are the major source of Drosphila TNF\u03b1, Eiger, to promote the growth and invasion of the tumor cells into other tissues (Cordero et al., Drosophila eliminates cells deficient for the polarity tumor suppressors Scrib or Dlg to maintain the tissue homeostasis and keep any malignant growth in check (Brumby and Richardson, v12Scrib\u2212/\u2212 tumor was found to induce a systemic proliferation of haemocytes via the JNK-JAK/STAT signaling cross-talk conserved also in response to tissue injury. The disrupted tumor basal membrane recruited circulating haemocytes in a manner reminiscence of wound healing (Pastor-Pareja et al., Drosophila the anti-tumor effect of a systemic inflammation response induced by mechanical injury and provided critical insight into the cross-talk between the different signaling pathways in regulating the multiple step progression of tumor.Like other aspects of tumor progression that can be modeled and studied comparatively in Drosophila as the complementary genetic tool to dissect each of the hallmark processes and to offer fundamental insights into the underlying genetic and cellular basis of the disease. In future, the Drosophila model can continue to be used as the reductionist system to investigate more of the cross-talks between these fundamental cancer biological processes. For example, the contrasting roles of immunity to control tumor growth or to be hijacked by the tumor can be modeled in the fly in a temporal and spatial manner. The unique advantage of Drosophila to be used as a whole organism has started to show promising potential in cancer drug screening and testing recently (Dar et al., Cancer has a complex biology. As a rationalization, Hanahan and Weinberg identified six major successive changes in human tumor development (Hanahan and Weinberg, The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "A question that continues to be asked by Clinical Trials Units is \u2018Should we invest in commercial trials software or should we develop our own solutions?' The answer depends on the expertise available within the organisation, volume and diversity of work undertaken by the Unit and of course the resources available. The benefits of using electronic technologies are well known; they promote better access and analysis of data as well as providing study results electronically.There are many commercial solutions available. These are often prohibitively expensive, require extensive training, management and support. They are not flexible or adaptable as there is usually no access to the source code so it is difficult to customise or extend the functionality.Trials units conducting publicly funded trials who have access to an experienced programming team having knowledge and experience of good clinical practice and current legislation could consider developing their own generic software solution. The pros and cons of this approach will be explored in this presentation along with comparisons with some of the commercially available solutions.The requirements for trial administration, data management, data cleaning, checking and extraction for analysis will be understood through experience and collaboration with trials teams. A well-documented and tested standard solution developed in-house can provide the benefits of commercial software coupled with the flexibility and quick response offered by a resident programming team. The professional expertise brought to a trials unit by a programming team with trials experience cannot be easily replaced by purchasing a software solution."}
+{"text": "Manganese (Mn) is an essential metal and has important physiological functions for human health. However, exposure to excess levels of Mn in occupational settings or from environmental sources has been associated with a neurological syndrome comprising cognitive deficits, neuropsychological abnormalities and parkinsonism. Historically, studies on the effects of Mn in humans and experimental animals have been concerned with effects on the basal ganglia and the dopaminergic system as it relates to movement abnormalities. However, emerging studies are beginning to provide significant evidence of Mn effects on cortical structures and cognitive function at lower levels than previously recognized. This review advances new knowledge of putative mechanisms by which exposure to excess levels of Mn alters neurobiological systems and produces neurological deficits not only in the basal ganglia but also in the cerebral cortex. The emerging evidence suggests that working memory is significantly affected by chronic Mn exposure and this may be mediated by alterations in brain structures associated with the working memory network including the caudate nucleus in the striatum, frontal cortex and parietal cortex. Dysregulation of the dopaminergic system may play an important role in both the movement abnormalities as well as the neuropsychiatric and cognitive function deficits that have been described in humans and non-human primates exposed to Mn. Manganese (Mn) is an essential trace metal that is required for a number of enzymes important for normal cellular functions imaging on 20 asymptomatic welders (exposed to welding fumes containing Mn), 20 subjects with idiopathic PD and 20 normal controls but significantly lower level of [18F]-FDOPA uptake in the caudate nucleus relative to controls but no effect on the anterior or posterior putamen with a smaller reduction in the caudate nucleus (~17%) PET for vesicular monoamine trasnporter type-2 (VMAT-2) is more likely to represent structural changes in dopamine terminals than [18F]-FDOPA PET when it relates to studies with Mn.In the last decade there has been a great deal of debate in the scientific literature about the potential role of Mn on the etiology of idiopathic PD. Epidemiological studies indicate that long-term exposure (>20 years) to Mn is associated with idiopathic PD . Consistent with this hypothesis, several studies in early idiopathic PD patients show that reductions in [18F]-FDOPA uptake in the caudate nucleus are associated with deficits in working memory performance and executive function in which there is extensive behavioral and neuroimaging assessment prior to (baseline) and at two different time points after initiation of Mn administration with amphetamine challenge in order to measure both D2-dopamine receptor (D2R) levels and in vivo dopamine release dopamine available for release. To answer this questions, a number of ex vivo neurochemical studies were performed in the caudate and putamen of the same animals in which PET studies were performed. The results show that when all control groups were combined (imaged-controls and na\u00efve controls) and used as a referent group, there were no significant differences on the levels of dopamine and metabolites in the caudate and there was only an effect of Mn on dopamine levels in the putamen when compared to the na\u00efve controls only in frontal white matter most studies on Mn-induced neurochemical and neuropathological changes have been focused on basal ganglia structures due to its association with movement abnormalities and parkinsonism, and (2) Mn accumulates to a high degree in the basal ganglia. Besides the suggestion from neuropsychological and cognitive tests of frontal cortex involvement in Mn-induced neurological dysfunction, a review of the literature brings to light a lack of neuropathological studies in which Mn effects on the cerebral cortex have been performed. It is only recently when neuroimaging studies have interrogated cortical regions to examine their susceptibility to Mn-induced neurotoxicity. In this context, our recent studies in non-human primates have reported proton MRS metabolite changes in Mn-exposed animals decrease in NAA/Cr ratio in the frontal cortex white matter and [18F]-fallypride (Kd = 0.14 nM) have made such studies possible. Several publications have now described the reliability of using [11C]-FLB 457 to measure in vivo dopamine release in the cerebral cortex of humans and non-human primates (Narendran et al., 11C]-FLB 457 binding potential reduction measured by PET was directly associated with the amount of extracellular dopamine release induced by the acute amphetamine administration (Narendran et al., in vivo dopamine release in the cerebral cortex using PET is an extremely valuable approach to understand the molecular basis of the working memory impairments observed in humans and non-human primates exposed to Mn. We are currently performing these types of studies in our Mn-exposed animals in order to make associations between in vivo dopamine in cortical regions and working memory performance.While the displacement of D2R specific PET ligands such as [In the last decade there has been significant progress using state-of-the-art neuroimaging and behavioral methodologies that have opened up a new understanding of Mn neurotoxicology. While historically the focus of Mn neurotoxicity has been associated with parkinsonism as a result of the high levels of exposure that occurred in the mining and processing of Mn ore and in other occupational settings, the last decade has brought about compelling experimental evidence that at lower cumulative doses of Mn that are likely to occur from occupational and environmental exposures, other non-motor neurological effects appear to be more prevalent and these seem to be associated with cognitive function deficits. The later may be the result of Mn producing brain chemistry and structural changes in cortical regions, and the frontal and parietal cortex appear to be sensitive targets. Lastly, because of its relevance to motor and cognitive domains, it is possible that dysfunction of the dopaminergic system could be a common mechanism by which Mn could have an impact on both cognitive and motor function deficits observed in humans and non-human primates.The author declares that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "The Village/Commune Safety Policy was launched by the Ministry of Interior of the Kingdom of Cambodia in 2010 and, due to a priority focus on \u201ccleaning the streets\u201d, has created difficulties for HIV prevention programs attempting to implement programs that work with key affected populations including female sex workers and people who inject drugs. The implementation of the policy has forced HIV program implementers, the UN and various government counterparts to explore and develop collaborative ways of delivering HIV prevention services within this difficult environment. The following case study explores some of these efforts and highlights the promising development of a Police Community Partnership Initiative that it is hoped will find a meaningful balance between the Village/Commune Safety Policy and HIV prevention efforts with key affected populations in Cambodia. On the 16th of August 2010, the Co-minister of the Ministry of Interior announced the Village/Commune Safety Policy as a priority policy for the Kingdom of Cambodia. The policy urged authorities at the commune level to ensure that there was no stealing, drug production or dealing, prostitution, child trafficking, domestic violence, gangsters, illegal gaming, use of illegal weapons or crime occurring at any commune in Cambodia [With regards illicit drugs the policy stated that authorities were to specifically:\u201cTake action to cut off and eliminate production, dealing and use of illegal drugs at the village commune/Sangkat by following the guideline No 052 National Department of the Police dated 21st 2006 on the implementation of a warlike approach to fighting any drug crime and to especially focus the law on drug control[.\u201dThe policy has had negative implications for HIV prevention among risk groups including harm reduction programs; a fact not lost on the Government of Cambodia who have acknowledged that the policy has made it much more difficult to access people who use drugs and has made \u201cservice provision for their benefit very difficult due to the misunderstanding of the law enforcement officers, especially at the commune level \u201d.Although the Village/Commune Safety policy has further highlighted the direct impact that law enforcement policy and practices can have on HIV prevention, many agencies have actively been trying to find a balance between law enforcement and HIV prevention efforts among most-at-risk populations (MARPs) in Cambodia over the last several years. Recognising that law enforcement practices were negatively affecting HIV prevention among sex workers, men who have sex with men and drug users, UNAIDS began working with the National AIDS Authority on a MARPs Community Partnership Initiative (MCPI). The MCPI was being designed as a standard operating protocol that could be implemented to decrease the impacts of law enforcement practices in HIV risk environments. Specifically the MCPI was designed to,Restore the enabling environment so as to allow the effective and smooth delivery of all forms of services to all MARPs\u201d \u2013 UN Official familiar with the MCPIUnder the MCPI and with support from USAID and the Global Fund to Fight AIDS, Tuberculosis and Malaria, Family Health International in Cambodia FHI360) has been piloting initiatives aimed at improving the enabling environments for HIV prevention among MARPs in Banteay Meanchey province. These pilot endeavours have been done in conjunction with the AIDS Secretariat of the Ministry of Interior and focus on strengthening a collaborative partnership among Provincial AIDS Committees/Secretariats, local authorities, police, military police, development partners, non-governmental organisations and members of the MARPs communities. During implementation of this pilot project the local authorities, health care providers and NGO staff conducted sensitisation information sessions to the police about the HIV prevention needs of MARPs and the role of the police in the HIV prevention enabling environment [60 has beThe police were made aware of the HIV programs working with these groups including the specific activities being implemented to support them. Early evaluations of these sensitisation efforts indicate that the police no longer use possession of condoms by sex workers as evidence for arrest and the police are discussing drug related arrests more carefully with other service providers resulting in them distinguishing drug dealers from drug users and then releasing drug users back to the community .These initial successes are building momentum and FHI360 is being funded by AusAID\u2019s HIV/AIDS Asia Regional Project (HAARP) to conduct a similar pilot program with police in Phnom Penh. Furthermore, officials from the Ministry of Interior involved with the work in Banteay Meanchey are reportedly looking to expand the effort into other provinces. Furthermore, UNODC are also working closely with its partners in Banteay Meanchey and other provinces to ensure that law enforcement officials are working collaboratively with other sectors to enhance the HIV prevention efforts among drug users.\u201cThere are key officials from the Ministry of Interior who have been providing local and national political support to these pilot program efforts and this is leading officials to want to expand these efforts into Phnom Penh and Sihanoukville.\u201d \u2013 UN Official familiar with the pilot projects.While the original efforts towards the development of a formal standard operating protocol for the MCPI were with the NAA, it became clear that ultimately the Ministry of Interior needed to be able to lead efforts that were being designed to work with law enforcement officials at the local level, especially in relation to HIV prevention among people who use drugs. The Ministry of Interior agrees and has now specifically requested that resources be redirected so that they can train and build the capacity of all of its law enforcement agencies to play a collaborative leadership role in HIV prevention among MARPs.\u201cThe Ministry of Interior are key players if we want to make a meaningful impact on the enabling environment for HIV prevention among drug users. There are currently renewed efforts being made to bring the Ministry of Interior further on board with HIV prevention efforts. We need to support these efforts with resources so that the Ministry of Interior can coordinate positive law enforcement efforts with the enabling environment for HIV prevention among MARPs.\u201d \u2013 UN official familiar with the increasing involvement of the Ministry of Interior in HIV preventionIn addition to work on the enabling environment on the ground, efforts are also being made to reform police education with regards harm reduction. With support from HAARP, FHI360 has developed and begun to implement a harm reduction training curriculum for the Cambodian Police training academy. In November of 2011, the National Harm Reduction Curriculum was officially approved by the Cambodian Deputy Prime Minister and early evaluation has demonstrated positive results.\u00b7 Training pre-post test results showed a 34\u2009% increase (at least 27 out of 33) in answers provided that favoured a law enforcement approach and support of HR programs.\u00b7 A comprehensive nine module curriculum on HIV, drug use and its link with HIV, harm reduction principles and practices and on the new drug laws is being adopted by six police academies around Cambodia .The MCPI project work being done in Banteay Meanchey is about to be reviewed by a delegation that includes the Ministry of Interior. With ongoing technical support from UNAIDS, UNODC, WHO, and FHI360 and in collaboration with the Ministry of Interior the lessons being learned in Banteay Meanchey are being used to develop a new Police Community Partnership Initiative protocol. The protocol may include the formation of Rapid Response Teams to be comprised of police, local authority, NGO representatives and other key stakeholders at the local level to refer MARPs away from police arrest and into HIV prevention services.It is clear that the Ministry of Interior in Cambodia is serious about improving the role of law enforcement in HIV prevention among MARPs groups and the development and implementation of the Police Community Partnership Initiative is a critical step towards the realization of this goal.The authors declare they have no competing interests.NT, KC, SL and NC discussed the initial concept of this case study presentation. KC and SL conducted background research into the issue of the village/commune safety policy in Cambodia. NT conducted interviews with key informants familiar with the issue in Cambodia and drafted the initial manuscript. GS and AW provided unique insights, guidance and information with regards to this issue in Cambodia. GS, AW and NC provided editing assistance to reach the final stage of this manuscript. All authors read and approved the final version of this manuscript."}
+{"text": "We give a new explanation for why some biological systems can stay quantum coherent for a long time at room temperature, one of the fundamental puzzles of quantum biology. We show that systems with the right level of complexity between chaos and regularity can increase their coherence time by orders of magnitude. Systems near Critical Quantum Chaos or Metal-Insulator Transition (MIT) can have long coherence times and coherent transport at the same time. The new theory tested in a realistic light harvesting system model can reproduce the scaling of critical fluctuations reported in recent experiments. Scaling of return probability in the FMO light harvesting complex shows the signs of universal return probability decay observed at critical MIT. The results may open up new possibilities to design low loss energy and information transport systems in this Poised Realm hovering reversibly between quantum coherence and classicality. Discovery of room temperature quantum coherence in the avian compass Quantum biology is dealing with open quantum systems closely coupled to their many degrees of freedom environment. The environment exerts time dependent forces on the system through the coupling. Some of these forces change very rapidly compared to the excitation frequencies of the system and look random from its point of view. This \u201cheat bath\u201d destroys quantum coherence and moves the system into a mixed state rapidly. The average effect of the random forces can be described as a non-unitary time evolution of the system's density matrix.The speed of environmental decoherence can be characterized by the decay rate of the off diagonal point Merging the pieces of classical, semiclassical and quantum aspects a new picture emerges. Systems well below the critical point have non-chaotic dynamics with zero generalized Lyapunov exponents and quantum localization lengths extending only for few states. Decoherence in these systems is slow and purity follows a power law decay We demonstrate this on a simplified model of chromophores in light harvesting complexes and argue that it is very likely that biological systems use this mechanism to tune their parameters Next we show results for ion see . The effAt criticality not only purity changes from exponential to power law decay but so does the population of the chromophores. In The findings support a new approach to quantum biological systems. They are not just under the influence of environmental decoherence due to random noise but also driven by waves of the incoming photons. The photons are absorbed by the chromophores which initiates an exciton on one of the chromophores in an initial state which is concentrated on the selected chromophore. The purity of the system becomes"}
+{"text": "Environmental Health Perspectives (EHP) established the Paper of the Year Award in 2008 to recognize high-quality papers published in the journal determine whether these changes persist in children at 7 years of age, b) examine the role of timing of exposure, and c) explore whether epigenetic inheritance plays a role in these findings. The authors are also coordinating an effort to bring together studies with data from the same platform for a meta-analysis of the effects of maternal smoking on newborns. The findings of Joubert et al. support the possibility that epigenetic mechanisms seen by DNA methylation may be associated with effects of maternal smoking during pregnancy.It is well known that children whose mothers smoked during pregnancy are more likely to have health problems such as low birth weight and asthma. Joubert et al. addressed the hypothesis that the diverse effects of maternal smoking during pregnancy may involve epigenetic modifications such as DNA methylation. The investigators obtained cord blood samples from a pregnancy cohort in the Norwegian Mother and Child Study (MoBa), and they used the Illumina Methyl450K platform to examine whether methylation changes were associated with smoking during pregnancy. Joubert et al. found cord blood methylation of genes in a pathway important for the detoxification of chemicals in tobacco smoke. They also identified the methylation of novel genes not previously implicated in the response to tobacco smoke, one of which is involved in fundamental developmental processes. Work is now in progress to EHP congratulates all the authors of this paper for their contribution to the environmental health science literature. This research is important because it demonstrates the value of using this approach to study mechanisms of epigenetic effects of in utero exposures to chemicals and other environmental factors."}
+{"text": "Food security requires the development and deployment of crop varieties resilient to climate variation and change. The study of variations in the genome of wild plant populations can be used to guide crop improvement. Genome variation found in wild crop relatives may be directly relevant to the breeding of environmentally adapted and climate resilient crops. Analysis of the genomes of populations growing in contrasting environments will reveal the genes subject to natural selection in adaptation to climate variations. Whole genome sequencing of these populations should define the numbers and types of genes associated with climate adaptation. This strategy is facilitated by recent advances in sequencing technologies. Wild relatives of rice and barley have been used to assess these approaches. This strategy is most easily applied to species for which a high quality reference genome sequence is available and where populations of wild relatives can be found growing in diverse environments or across environmental gradients. Agriculture needs significant increases in productivity to satisfy the expected growth in demand for food in the next few decades. The impact of climate variability and climate change on agricultural productivity is likely to be a major constraint to achieving increased food production. This makes the development of crop genotypes with resilience to climate change an important strategy for food security. Innovations in crop improvement based upon application of advanced genomics tools may be a way to address this need. The delivery of these technologies will require significant efforts in coordinated development and delivery of improved germplasm . GenomicCrop evolution has been relatively rapid under human selection over the last 10,000 years of agriculture. However, it is built on a very much longer period of evolution of wild crop relatives and the plant groups from which they are sourced. Understanding the processes and history of crop domestication and the evolution of related wild species provides critical knowledge to guide the development of crop varieties that are resilient to climate change in the future.Analysis of wild plant populations provides evidence of factors contributing to success in periods of climate change. For example, hybridization between species may be an advantage in adapting to rapid climate change by providing new genetic combinations to cope with new environmental circumstances. Closely related species that can hybridize are more likely to survive than highly divergent species that cannot hybridize . AnalysiRecent fossil evidence suggests early diversification of groups of crop wild relatives such as the grasses . The cliDomesticated crop species are few in number compared to the total number of land plant species . A smallGenomics tools provide new options for accelerated domestication of new species to allow adaptation of agriculture to climate change .Domestication may have been a single genetic event with all the domesticated plants being descendent from the same wild parents or have involved a few or many independent domestication events with many wild plants contributing to the domesticated gene pool. This understanding may provide the opportunity to repeat the domestication of important crop species from a different or more diverse gene pool. Genome analysis may be used to guide this process.The center of origin of a crop species is the region from which the species is believed to have been domesticated. These are the environments that the crop plant was originally best adapted to survive at the time of domestication. Domestication from a different population selected by genome analysis may provide an opportunity to develop genotypes adapted to a new environment.Oryza sativa) was probably domesticated in China from wild O. rufipogon. The A genome clade of wild rice relatives is now considered to be most diverse further south with a center of diversity in New Guinea, Australia, and Indonesia. These locations may prove to be good sources of novel germplasm for rice improvement. Species from more temperate regions could be used to adapt rice to production in cooler climates.Genome analysis allows rapid identification of geographic centers of genome diversity. The center of diversity of a crop species is the region displaying the greatest genetic diversity of the crop species or its wild relatives. This may be distinct from the center of origin as plant species may have been domesticated in areas that are not those including the greatest diversity. Identification of these locations may provide new and diverse germplasm and define new environments for production of the crop now or in the future. Asian rice (The gene pools of crop species may be considered at several levels. Genomic analysis may have value at all of these levels. The primary gene pool is the gene pool of the plant found in domestication and usually the species from which the crop was domesticated. The primary gene pool includes those plants that are available for direct use in genetic improvement of the species. The secondary gene pool may include more diverse material from other species that can be accessed but with a greater degree of difficulty. This often includes other species in the same or a related genus . The terde novo assembly of sequence data may be necessary to detect all differences and advances in sequencing technology to make this routinely possible with large plant genomes will be a significant advance.Advances in DNA sequencing in the last few years have resulted in genomic sequence data becoming more readily available . Major eAnalysis of the genomes of plants growing along environmental gradients may provide a greater understanding of how plants adapt to climate variation under natural selection .Analysis of the genomes of plant genetic resources will become a key tool to enable their utilization in crop improvement for climate adaptation. Targeting of genetic resources from environments that match the one being breed for is an important strategy. Large scale sequencing of accessions in plant germplasm collections will provide a platform to enable these approaches .Increased utilization of wild crop relatives will remain a major strategy for adaptation of crops to the environmental factors associated with climate change. Many crop wild relatives remain poorly collected and are not yet represent well in seed banks. Climate change and human development risk loss of this genetic diversity making accelerated collection of crop wild relatives urgent. Rice illustrates this challenge. The closest wild relatives of rice are those from the A genome clade from which rice was domesticated . Recent The analysis of populations of wild relatives of barley and riceIn these studies, wild plants were collected from diverse environments or along a sharp environmental gradient. Sampling of the same population over time as the climate changes could be simulated by this strategy. In only a few cases we can access samples that have been sampled from the same population over a significant period of time. Key findings were that adaptation to hotter or dryer environments was associated with increased diversity of biotic stress genes. Coping with abiotic stress may be confounded by overriding associated changes in the biotic environment .Productivity gains in crop production require elimination of constraints to utilization of more diverse germplasm. In some species the requirements of end uses are a major limitation. Market requirements for specific food or processing attributes that are complex or not well understood at the genetic level can greatly hamper attempts to use diverse adapted germplasm. Genomics tools that allow these traits to be readily selected for in breeding will assist by removing these as constraints to rapid climate adaptation . Food quHuman selection for quality may result in loss of environmental adaptation. Fragrance in rice is highly attractive to humans and adds significant value to rice. The sequencing of the rice genome allowed the identification of the genetic basis of this trait due to tThe breeding of crops to cope with new pests and diseases will be a key strategy to allow plants to cope with new climates. Genes from wild populations will continue to be a major option but this may need to be complemented by the use of novel transgenes or genetic modifications.Technology advances will continue to be critical. Ultimately we need to be able to access whole genome information on all crop species and their wild relatives to be effective in rapid crop adaptation to climate. Ongoing developments in the chemistry of DNA sequencing and in information technology hardware and software will be required to allow these very large amounts of information to be captured and managed.The author declares that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Whole genome and whole exome sequencing projects yield thousands of missense mutations with unknown functionality. Direct estimation of the sensitivity and specificity of bioinformatic algorithms predicting the impact of missense mutations on protein function requires a 'gold standard' or set of mutations with known functionality. In the absence of a gold standard, additional statistical methods are needed to estimate the accuracy of these algorithms. It has been shown informative predictions depend on the algorithm and sequence alignment employed and often algorithms disagree as to which mutations are predicted deleterious or neutral .n algorithms, there are 2\" disjoint categories employed by the ABM model, which includes 2n + 3 parameters, and the BM model is a special case of the ABM model that includes 2n + 1 parameters. We use the expectation-maximization algorithm for parameter estimation.To investigate the level of agreement, disjoint categories of sets of mutations are defined depending on which algorithms predict which mutations to be deleterious or neutral. We have developed two statistical models called Bernoulli mixture (BM) and augmented Bernoulli mixture (ABM) based on the capture-recapture technique that employs these disjoint categories. Application of these models allows us to jointly estimate the sensitivities and specificities of each algorithm considered without the use of a gold standard and to estimate the proportion of deleterious mutations in a given set. These estimates may then be used to calculate the posterior probability of a given variant being deleterious. When considering We apply the models to two types of predictions of functionality: simulated and real predictions. Using simulated predictions, we accurately recover the true sensitivity and specificity values and report confidence regions. We show example posterior probabilities of a given variant being deleterious. When a gold standard is available, we show the sensitivity and specificity estimates reported the BM and ABM models closely match the sensitivity and specificity estimated directly using the true functionality status. To test our models on mutations without known functionality, we apply the models to mutations obtained from the exomes of four individuals which were sequenced at the Human Genome Sequencing Center at Baylor College of Medicine to identify cancer susceptibility genes for acute lymphocytic leukemia and lymphoma in children. Within each individual, we estimate posterior probabilities for each variant being deleterious and apply an intersection filter to look for deleterious mutations shared by the three affected individuals, but not in the unaffected individual.The BM and ABM models may be used to estimate the sensitivity and specificity of algorithms predicting the functionality of mutations without the use of a gold standard and to calculate posterior probabilities of a given variant being deleterious which may be used downstream in application of finding causal variants in next-generation sequencing."}
+{"text": "Data models are used to capture and organise the elements of the data in a meaningful way so that they can be stored and utilised by computer systems and support clinical decision making. This paper presents the data modeling considerations within the \u2018Clinical Trial Methods in Neurodegenerative Diseases\u2019 (CTMND) project funded by the NIHR [The project adopts a holistic approach for the investigation of the suitability and efficiency of clinical observations in neurodegenerative diseases clinical studies. This ongoing research in novel clinical and surrogate outcome measures will be incorporated in an online data collection and analysis system to facilitate clinical trials and relevant research, taking into account, wherever possible, routinely collected NHS data.This paper presents ongoing research in the project\u2019s data modeling aspects with the following objectives:1. To review the current state of the art data models for capturing clinical information from the available literature.2. To compare and contrast their features against the data management requirements of the project and outline the key factors that affected the adoption of a specific model for the CTMND project\u2019s information system.A set of key papers and past reviews were collected from the currently available literature detailing the characteristics of standard data models used in healthcare such as CDISC\u2019s ODM, Health Level 7 and others. The data models and associated approaches were compared and contrasted with each other by taking into account best practices and guidelines emerging from organizations such as the Object Management Group (OMG). Finally, having concluded in a specific modeling approach we were also able to look forward at the possibilities that a particular solution enables and propose a flexible way to model clinical trial data.This review highlights a number of key data management and organization considerations that affect the adoption of a specific data model given the project specifications and resource constraints. The key factors were Current Resources, Interoperability (with current and future systems), Documentation and Reference Implementation availability.Given the dynamic environment of clinical trials as well as the project\u2019s objectives to propose novel outcome measures, we comment on the suitability of the Dual Model approach for the efficient organization of clinical study data but more importantly for its flexibility in modeling novel outcomes with minimal software maintenance. According to this approach, a handful of elementary data structures are made available to a higher level model that is responsible for their ordering and semantics. Additionally we provide specific details regarding system implementation."}
+{"text": "Developing new therapeutic strategies to achieve a functional cure for HIV infection is a central objective for contemporary AIDS research. A key obstacle towards a functional cure for HIV/AIDS is the paucity of information regarding the establishment and maintenance of the persistent reservoirs of latently HIV-infected cells which support the rapid reactivation of virus replication when antiretroviral therapy (ART) is stopped. Given the many and important similarities between HIV-infection of humans and SIV infection of macaques, it is very likely that crucial information on the nature of HIV reservoirs may come from studies conducted in SIV or SHIV-infected macaques that are treated with ART. While this area of AIDS research is still in its early stages, it is important to note that these studies have now become possible due to the availability of antiretroviral regimens that successfully reduce SIV or SHIV replication below detectable limits. Specific advantages of the non-human primate models for HIV latency, reservoirs and functional cure include the following: (i) possibility to conduct extensive characterization of the virus reservoirs and pathogenic processes in tissues (including elective necropsy); (ii) performance of in vivo pilot trials of new therapeutic approaches can be conducted in a timely and controlled fashion; (iii) developing and testing of \u201crisky\u201d interventions that may pose significant ethical challenges in humans; and (iv) possibility to control for various clinical parameters that are very hard to control in humans . On the other hand, current limitations to this type of studies are their cost and the lack of standardized research resources . In this presentation, the potential and limitations of animal models of functional HIV cure will be discussed together with selected examples of therapeutic approaches that could be developed and tested in non-human primates."}
+{"text": "The cell has an intricate quality control system to protect its mitochondria from oxidative stress. This surveillance system is multi-tiered and comprises molecules that are present inside the mitochondria, in the cytosol, and in other organelles like the nucleus and endoplasmic reticulum. These molecules cross talk with each other and protect the mitochondria from oxidative stress. Oxidative stress is a fundamental part of early disease pathogenesis of neurodegenerative diseases. These disorders also damage the cellular quality control machinery that protects the cell against oxidative stress. This exacerbates the oxidative damage and causes extensive neuronal cell death that is characteristic of neurodegeneration. Mitochondria are key molecular players in all cells performing many vital functions. They are the powerhouse of the cell, providing the cell with adenosine triphosphate (ATP) generated by oxidative phosphorylation (OXPHOS). Mitochondria have an important role in buffering calcium flux from the endoplasmic reticulum and the plasma membrane thus helping to maintain the spatiotemporal distribution of calcium in the cell. Mitochondria have enzymes essential for steroid synthesis and are the chief source of endogenous reactive oxygen species (ROS) which are produced by several mitochondrial enzymes including components of the OXPHOS system .Proper mitochondrial functioning is very important to neurons. Neurons have high energy requirements. They are terminally differentiated cells which consume a lot of ATP to maintain ion gradients across membranes for proper neurotransmission. Efficient mitochondrial transport and positioning are also critical because different regions of the neuron have different energy requirements. Active growth cones and presynaptic terminals need more ATP than other parts of the cell . Calcium\u03b1-ketoglutarate dehydrogenase; pyruvate dehydrogenase; glycerol-3-phosphate dehydrogenase; dihydroorotate dehydrogenase; the monoamine oxidases; and cytochrome b5 reductase ..69].Mitochondrial quality control is a relatively new field of research which has a lot of unanswered questions. A simple analysis of the events that follow when cells are treated with the commonly used mitochondrial uncoupler like CCCP clearly exposes the many caveats in our understanding of the functioning this organelle. On CCCP treatment, it is seen that the mitochondrial distribution changes from a spread out pattern to a cluster around the nucleus. Why do they cluster around the nucleus? Does this involve ROS mediated signalling between the mitochondria and the nucleus or between the clustered mitochondria themselves? On using a high resolution microscope it is seen that what appears to be a cluster of fused mitochondria is actually made up of many punctuate individual mitochondria. It is known that fission can segregate out damaged or depolarised mitochondria so that it can be removed but what determines the sites of this fission? How does the cell know how much of the mitochondria have to be removed from the electrically continuous mitochondrial network? Are there internal sensors which can sense the local membrane potential within the mitochondria which decide the sites for mitochondrial fission? Once the depolarised mitochondria are separated from the rest by fission, it can undergo mitophagy. How does the cell specifically direct the autophagy machinery to the damaged mitochondria without activating bulk autophagy? And finally, how does the cell decide when to switch from mitochondrial quality control to activation of apoptosis? in vivo magnetic resonance spectroscopy (MRS) based techniques to analyse mitochondrial function, mitochondrial research is progressing rapidly towards a clearer understanding of the mitochondria and their interaction with the rest of the cell.Our knowledge of oxidative stress and mitochondrial biology is still very rudimentary with a lot of unexplored questions. With the advent of sophisticated techniques like super resolution imaging, mass spectrometry based mitochondrial proteome analysis, and new"}
+{"text": "Antibiotic drug discovery is an indispensable process to combat aggressive ability of pathogenic microorganisms and emerging infectious diseases against health and well-being of people throughout the world. According to the updated and expanded data on natural products presented by Newman and Cragg , the utiStreptomyces griseus there has been a rapid escalation in antibiotic discovery from the genus Streptomyces (largest genus of Actinobacteria). Subsequently, members of this genus have become renowned as a prime source of natural antibiotics are currently isolated from diverse environments and intensively studied for potential leads for antibiotic discovery programs. The rare actinomycetes are usually regarded as strains of actinomycetes whose isolation frequency by conventional methods is much lesser than that of streptomycete strains apparently opine that these organisms nourish the current antibiotic drug discovery programs."}
+{"text": "The application of Personalized Medicine strategies of matching specific disease genotypes and phenotypes with specific pharmaceutical drug treatment has shown tremendous efficacy in several important diseases. The most successful example is the targeting mutations of the epithelial growth factor receptor by small molecule antagonists of the tyrosine kinase in non small cell lung cancer. The expansion of this treatment paradigm into other diseases has led to new thinking considering the diagnosis and treatment of disease, including \u201cPrecision Medicine\u201d, which seeks to provide a molecular taxonomy of disease that can be used for guiding targeted therapy in individual patients. Today we have only a cursory understanding of the patterns of actual uptake of drugs or their active metabolites at such targeted sites in the body. In the past such studies required extrinsic labeling of the parent drug (ie radioactivity in PET) that potentially changed the chemical and biological properties of the drug. New technologies such as MALDI-MSI mass spectrometry have revolutionized the label-less tracking of drugs within targeted disease tissue sites . A spect"}
+{"text": "Effective malaria control programmes prevent malaria transmission by promoting personal protection measures and effective vector control strategies, and providing appropriate case management with early diagnosis and effective treatment. The objective of the study was to understanding of malaria entomologist in relation to current malaria control in their area of activities and technical disciplines.A qualitative approach was adopted based on a semi structured interview with 30 individuals working at community-level in malaria endemic areas. Thematic content analysis was used to analysis the data.Although most of participants have been concern with the distribution and causation of problems of malaria control, few of them have addressed the issue of solutions. Participants had positive perceptions on their basic activities and opinions in relation to biologic and epidemiologic factors in their field work. In contrary, their perceptions in relation to malaria control policy and integrated management of vector control were rather negative.There was not feedback mechanism on malaria control activity among practitioners. Therefore, any problems due to the mismatch between the institutional tasks and individual role performance should be fed back into the health system and adjustment should be made. Greater emphasizes should be given to the choice of solutions."}
+{"text": "The most significant epigenetic alteration found in cancer cells is a global loss of DNA methylation. Recent analyses of cancer methylomes have suggested that methylation is specifically lost from Lamin-associated domains (LADs) which are associated with the nuclear periphery. This suggests that nuclear organisation is a key influence on epigenetic alterations in cancer but the relationship between nuclear organisation and demethylation has not been directly investigated.in-situ hybridisation (FISH) to determine how nuclear organisation in normal cells relates to alterations in DNA methylation levels in cancer.We have combined analyses of cancer methylomes with fluorescence Our analyses demonstrate that DNA methylation is lost from different regions of the genome in breast and colorectal tumours. Surprisingly, we find that the propensity to become demethylated in cancer is not correlated with localisation to the nuclear periphery in the corresponding normal cell types. While regions some breast cancer hypomethylated regions are localised to the periphery in normal breast epithelial cells, an equal proportion are found in the nuclear interior.Our observations decouple hypomethylation in cancer from a peripheral nuclear localisation and suggest that association with the nuclear lamina is not mechanistically involved in the loss of methylation in cancer."}
+{"text": "Knee malalignment and variations in foot posture and function affect the forces transmitted through the knee joint and are associated with knee pain and medial tibiofemoral cartilage damage . HoweverNineteen patients diagnosed with predominantly medial compartment knee OA who were scheduled for TKR surgery participated in the study, and were tested prior to and 12 months after TKR. Foot Posture Index (FPI) and arch index were measured as well as motion of the tibia, rearfoot and forefoot using a 3D motion analysis system incorporating a multisegment foot model (Oxford Foot Model).Significant increases in tibial external rotation and tibial transverse plane range of motion (ROM) were observed following the surgery. An increase in rearfoot ROM in the frontal plane and a decrease in rearfoot transverse plane ROM were observed. No significant differences were found between pre and post-surgery in the FPI and or the arch index.Following TKR, there is an increase in the ROM of the rearfoot in the frontal plane, but no change in static foot posture suggesting that rearfoot motion compensates for changes in the alignment of the knee."}
+{"text": "Rare diseases are designated as affecting less than 200,000 individuals (US) and of the approximately 7000 designated rare diseases, the majority of these occur in pediatric patients, and across international boundaries. An example is pediatric ARDS (Acute Respiratory Distress Syndrome) which is not diagnosed until a previously healthy child presents in the pICU with severe symptoms and in which more children die each year than from cystic fibrosis and leukemia, combined. The Nathaniel Adamczyk Foundation (NAF) is focused on identifying risk factors and opportunities for prevention of this devastating disease. Boththe diagnosis and patient management are challenged by having to deal with a syndrome in a critical care situation in a heterogeneous patient population.NAF has undertaken the development of an (inter) national tissue and data repository to support both clinical research and enhanced clinical decision support for patient management. Creation of an analytical platform to integrate, access and analyze temporal clinical data ranging from the pICU to also incorporate neo-natal ICU and pregnancy history is underway with a prototype already in testing. Analytical methods are being evaluated in collaboration with Dr. Mike Quasney and the Virtual Pediatric ICU and PALISI (Pediatric Acute Lung Injury and Sepsis Investigators). This effort is exploring expanded international partnerships in both Europe and China to increase the accessible data for analysis and to further participate in the development of better diagnostic standards.We will present the initial state of both the analytics and platform development to encourage extension of this international effort to interested clinicians and clinical researchers. We believe that this unique approach, which focuses first on addressing the critical need to improve patient management through disease stratification, will not only benefit pARDS but be extensible to many other pediatric rare disorders."}
+{"text": "The UK Department for International Development (DFID) is committed to investing in research to combat poverty, reduce high mortality and morbidity in resource poor contexts and support progress towards meeting the Millennium Development Goals. Research helps us to identify what works, what does not work and how to understand the local context when introducing new ways of working. There is no point doing research if the findings do not get into policy and practice. DFID strongly encourages all research programmes to consider research uptake activities as an integral part of the research.This special supplement draws on the work of the Sexual Health HIV Evidence into Practice (SHHEP) initiative. SHHEP is a collaboration across four DFID Research Programme Consortia (RPC) that undertake research and action on HIV and Sexual and Reproductive Health in resource poor contexts. Each consortium consists of 5 or more research, advocacy or service provider institutions from the south and the north working together over a five year period on critical areas of sexual and reproductive health. The essence of SHHEP is to share learning on research uptake and research engagement in Sexual and Reproductive Health, including HIV. The group has formulated a range of targeted mechanisms to communicate health research to different audiences and spearhead change, and were finalists for the British Medical Journal 2010 Getting Research into Practice (GRiP) prize.The papers in this special supplement focus on lesson learning on getting research into policy and practice. They highlight the range of methodologies and approaches researchers and communication specialists have used in different contexts to try to ensure research does not simply gather dust on library shelves but feeds into and is relevant to policy and practice in different contexts and on a diversity of topic areas .The work reported in this supplement provides examples of approaches that have been tried and from which other researchers can learn. They demonstrate that getting research into policy and practice is complex, dynamic and multi-faceted; and a wide range of context and issue specific conceptual and practical approaches have to be used. I hope that the innovative approaches and promising ways forward, presented in these papers, will inspire and motivate others.Professor Christopher WhittyDirector Research and Evidence DivisionDepartment for International DevelopmentDr Sue KinnHead of Health ResearchDepartment for International Development The authors declare that they have no competing interests."}
+{"text": "The Pall Micro24 Bioreactor system is one of several microbioreactor systems that have been commercialised in recent years in response to the demand to reduce costs and shorten process development time lines.We have previously demonstrated that the Micro24 Bioreactor system can be integrated successfully into the later stages of cell line screening programmes and that the results correlate well with those from more conventional methods . FurtherThis work describes the use of the Micro24 Bioreactor system to identify improved process conditions for different cell lines and their subsequent validation in bioreactors.3.This system comprises 24 bioreactors (7 ml working volume) each capable of independent temperature, dissolved oxygen and pH control. The main limitation of the system is the lack of automation meaning that any feed additions or sample removal must be made manually and similarly, for mammalian cultures, upwards pH control is achieved by the manual addition of NaHCOEngineering characterisation studies carried out at UCL (data not shown) have shown how conditions within the individual Micro24 chambers compare with those in bioreactors and recent results also indicate that the selection of the Micro24 plate type is critical in ensuring good correlation with performance in traditional bioreactors.Within the Micro24 Bioreactor system cell cultures are carried out in presterilised polycarbonate mammalian cell culture cassettes which are inoculated manually in a laminar flow cabinet before sealing with Type A single use closures and incubation under experimental conditions.Chemically defined medium and feeds were used throughout this work. Unless otherwise stated standard experimental conditions were used. ). Viable cell numbers and viability were determined using a ViCell Cell Viability Analyser (Beckman Coulter) and antibody titres were determined using an Immage Immunochemistry System (Beckman Coulter).Typical process relevant factors that can be tested in the Micro24 include feed regime, pH, DO and temperature. The effects of these types of factors are best tested using a Design of Experiments (DoE) approach to assess the effects not only of different factors but also of the interactions between them. Such data can then be used to build predictive models of process performance to specify the appropriate operating conditions in larger scale bioreactors. We have already developed and are using a similar approach for microbial dAb processes.The data below shows examples of how we have used this system to identify improvements to platform processes for specific cell lines.In this experiment the effects of changes to the platform process pH and DO set points on the performance of a mAb producing cell line were assessed in the Micro24 using a DoE approach with different operating conditions in each well.This data demonstrated that although the dissolved oxygen level had little effect on viable cell numbers, titres and specific productivity, operating at a higher pH than the standard platform set point resulted in an increase in titre and in specific productivity. There was no significant interaction between the factors.The high pH process identified from the Micro24 was run in 2 litre bioreactors and compared to the standard platform process.At the high pH set point cell numbers during the later stages of the process were slightly reduced compared to the control and as in the Micro24 higher titres were produced under higher pH conditions. However, as in the Micro24 the greatest effect of increased pH was on specific productivity which in the bioreactors was increased by approximately 35% compared to the control.Similar results were achieved at the 50 litre scale for a different cell line running in the same platform process but producing a different molecule Figure . There wThe Micro24 can be used to investigate the effect of different feeding regimes on culture performance. We have already demonstrated that the effect of feed addition on culture performance in the Micro24 is similar to that in shake flasks ; the datOur previous work has demonstrated how the Micro24 system can be used for mammalian cell line selection and the The validation of the Micro24 results in bioreactors suggests that the integration of this technology into mammalian process development could reduce significantly the numbers of bioreactors required to achieve process improvements which could result in reduced resource requirements and improved timelines."}
+{"text": "The meaning of correlated neural activity for the processing and representation of information in cortical networks is still not understood, but evidence for a pivotal role of correlations increases . Recent"}
+{"text": "Multiple sources of influenza surveillance data are becoming more available; however integration of these data streams for situational awareness of influenza activity is less explored.We applied multivariate time-series methods to sentinel outpatient and school absenteeism surveillance data in Hong Kong during 2004\u20132009. School absenteeism data and outpatient surveillance data experienced interruptions due to school holidays and changes in public health guidelines during the pandemic, including school closures and the establishment of special designated flu clinics, which in turn provided \u2018drop-in\u2019 fever counts surveillance data. A multivariate dynamic linear model was used to monitor influenza activity throughout epidemics based on all available data. The inferred level followed influenza activity closely at different times, while the inferred trend was less competent with low influenza activity. Correlations between inferred level and trend from the multivariate model and reference influenza activity, measured by the product of weekly laboratory influenza detection rates and weekly general practitioner influenza-like illness consultation rates, were calculated and compared with those from univariate models. Over the whole study period, there was a significantly higher correlation for the inferred trend based on the multivariate model compared to other univariate models, while the inferred trend from the multivariate model performed as well as the best univariate model in the pre-pandemic and the pandemic period. The inferred trend and level from the multivariate model was able to match, if not outperform, the best univariate model albeit with missing data plus drop-in and drop-out of different surveillance data streams. An overall influenza index combining level and trend was constructed to demonstrate another potential use of the method.Our results demonstrate the potential use of multiple streams of influenza surveillance data to promote situational awareness about the level and trend of seasonal and pandemic influenza activity. Many public health agencies routinely monitor influenza virus activity to facilitate situational awareness of the degree of disease activity in the community During the 2009 influenza pandemic, situational awareness was hindered by the introduction of new \u2018drop-in\u2019 surveillance systems and potential changes in behavior in pre-existing systems The local Department of Health conducts influenza-like illness surveillance among a network of 50 private-sector sentinel general practitioners (GP) and 62 public-sector sentinel general outpatient clinics (GOPC) who report weekly proportion of outpatients fitting the surveillance definition of ILI and trend (decreasing/stable/increasing) of the underlying influenza activity representing different phases of influenza epidemics.For each week since 2004, we estimated the latent level and trend, and calculated the overall influenza activity index based on all available GOPC, GP ILI, school absenteeism and DFC fever counts surveillance based on data available up to that week. The data along with the scaled inferred influenza level and trend from the dynamic linear model, and the reference influenza activity are shown in We fitted dynamic linear models to the individual surveillance data streams, and estimated the correlation of these individual models versus influenza activity. We compared this with the correlation between the multivariate models using all available data versus influenza activity . While tWe have demonstrated the use of a multivariate method to integrate information from multiple streams of influenza surveillance data to improve situational awareness of the current level of influenza activity, and how a combined use of both the inferred influenza level and trend or an integrated index that can be potentially used to indicate overall influenza activity currently. Our study showed the advantage of a multivariate model-based approach especially if some surveillance data streams are interrupted or supplemented by additional systems during certain critical periods such as the 2009 influenza pandemic. During the whole study period, the estimated influenza level from the multivariate model showed higher correlation with influenza activity and the estimated influenza trend stably reflected the change in influenza activity as good as the best individual surveillance data streams from which it was derived & 2. In A potential caveat of the method is that historical data are needed to parameterize the model prior to estimation of the overall influenza activity. The statistical time series model may not be able to fully describe the evolution of an infectious disease such as influenza. In this study we did not try to optimize the parameters for combining the level and trend into the overall influenza index nor validate the index with respect to an objective function. The level or trend may have different importance in various contexts which can be easily adjusted according to specific purpose, and compared to the simple average there may be superior combinations of these two parameters to provide a single prospective estimate of the degree of influenza activity currently and in the short-term future. We used the product of laboratory influenza isolation rate and GP ILI rate as a proxy measure for the reference influenza activity, which may partly explain the high correlation between GP ILI and influenza activity during the pandemic with particularly high proportion of medical consultations due to influenza. While we have taken into account the elevated ILI consultations during the pandemic which may have affected the laboratory isolation rate, change in healthcare consultation behavior was not accounted for due to limited data.Text S1Description of the multivariate dynamic linear model.(DOC)Click here for additional data file.Text S2Example syntax for estimation of the latent level and trend by the multivariate dynamic linear model.(DOC)Click here for additional data file.Table S1Test of differences in correlations with influenza activity, between surveillance data and inferred influenza level from the multivariate models.(DOC)Click here for additional data file.Table S2Test of differences in correlations with changes in influenza activity, between surveillance data and inferred influenza level from the multivariate models.(DOC)Click here for additional data file."}
+{"text": "Bracovirus and IchnovirusTextbooks define viruses as infectious agents with nucleic acid genomes (RNA or DNA), which replicate inside living host cells to produce particles (virions) that can transfer the genome to other cells To appreciate the conceptual challenges PDVs present requires first an understanding of their life cycle. In wasps, PDVs persist in the germ line and somatic cells as an integrated provirus. Replication, in contrast, only occurs in pupal/adult stage females in the nuclei of specialized calyx cells that are located in the ovary . In the Recent studies show that BV genomes exhibit organizational and functional features unlike any other virus group, while also providing important insights into why the activity of PDVs differs between wasps and the hosts wasps parasitize So when did PDVs evolve? In the case of BVs, all associated wasps reside in a single family named the Braconidae and form a monophyletic assemblage named the microgastroid complex Insights into what BVs evolved from derive from comparing the conserved core genes of their proviral genomes to other viruses. This exercise reveals homologies with the core genes of another group called nudiviruses The organization of nudivirus genomes and the core genes they encode suggest three features of likely importance in the evolution of BVs into beneficial symbionts. First, nudiviruses package their genomes as a single circular dsDNA into virions, while integrating as a single large linear DNA into the genome of host cells Polydnaviridae because they both package multiple circular dsDNAs into virions and exhibit similar life cycles, albeit the former are associated with braconids and the latter are associated with wasps in another family named the Ichneumonidae BVs and ichnoviruses (IVs) were assigned to the Returning to the definition of what a virus is, PDVs clearly replicate inside living cells and produce particles that transfer genes to other cells. Similar to other families of large dsDNA viruses, like the Baculoviridae and Poxviridae, BV genomes also encode a conserved set of replication genes plus other virulence factors from diverse sources that vary among genera and species"}
+{"text": "The introduction of Highly Active Antiretroviral Therapy has transformed HIV-infection from an inevitably lethal disease to a chronic condition with a life expectancy comparable to that of people with diabetes mellitus.In recent years it has become evident that people living with HIV/AIDS have an increased risk of developing cardiovascular disease and it is expected that the prevalence of chronic kidney disease will rise accordingly. To investigate the prevalence of chronic kidney disease in patients with HIV we conducted a retrospective observational analysis using the clinical database of a large centre in the urban area of Antwerp, Belgium. The prevalence of chronic kidney disease among HIV infected subjects was found to be 3.0%. The development of chronic kidney disease was associated with age above 50 years, lower CD4 cell counts and Caucasian origin. Screening for chronic renal disorders and prevention of evolution toward chronic renal failure is a crucial challenge in the management of people living with HIV/AIDS."}
+{"text": "Community Advisory Boards (CABS) have played an important role in ensuring community oversight of AIDS vaccine trials and are an accepted part of the ethical conduct of AIDS vaccine trials. China's political system limits community engagement in trial communities and wholesale application of western CAB approaches does not accomplish the intent of a CAB. We adapted the CAB concept to China's political system through a multi year process of research and pilot testing in collaboration with six provincial CDCs conducting AIDS prevention research studies.Using questionnaires developed by IAVI for a global CABS study, we carried out an assessment of existing CABS in six provinces in China. The questionnaire examined membership, process, and governance along with other aspects of CABS operations. The results were used to revise standard CABS guidelines developed by IAVI for use in Africa and India. The revised guidelines were pilot tested in three sites, in Yunnan, Guangxi, and Shanxi. In depth interviews were also conducted with CAB members and local CDCS.A revised version of Chinese CABS guidelines was published in October 2011 and publicized at China's AIDS Prevention Conference by China's AIDS Ethical Review Board and IAVI. The CABS guidelines are now being promoted as part of the ethical requirements for AIDS prevention clinical trial research by China's National Center for AIDS Prevention and Control.Developing and adapting ethical tools for ensuring community input and oversight of clinical trial research in China is necessary given China's political system. These newly adapted CABS guidelines provide a mechanism to accomplish the intention of a CAB even while different in form and governance from standard CABS elsewhere."}
+{"text": "The authors of guidelines provide 100 recommendations describing many intensively discussed issues. Among them is hepatotoxicity of PTU and limitation of PTU treatment mainly to the first trimester of pregnancy. Methimazole becomes first line ATD for patients with new onset of Graves\u2019 disease. Graves\u2019 orbitopathy (GO) is classified according to its clinical activity and severity. Deterioration of GO after radioactive iodine (RAI) treatment and beneficial effects of steroids to prevent RAI induced exacerbation of GO are described. All patients with subclinical thyrotoxicosis who are older than 65 years and those who are below age 65 and have risk factors or hyperthyroid symptoms should be treated. It is proposed to measure TSH receptor autoantibodies in pregnant women with a previous history of autoimmune thyroid disease. The information about thyroid ultrasonography with the colour-flow Doppler for the rapid differentiation between the two main types of amiodarone-induced thyrotoxicosis, and its help for accurate treatment of these conditions is provided."}
+{"text": "About 15 % of patients who have been undergone to a laparotomy may develope abdominal wall hernia and the risk increases with age. In last years the Laparoscopic treatment of ventral hernia (LVHR) is becoming increasingly widespread in surgical community thanks to the good outcomes of this technique . The aimBetween January 2001 and March 2013, 523 patients were admitted to the Specialistic Surgery Centers and treated for abdominal wall hernia. Two groups (Open and Laparoscopic Repair), each one of 100 patients, with similar characteristics have been selected from these presents more advatages compared to Open procedures related to reduced global complications and hospital stay with better comfort of patients."}
+{"text": "It is now widely accepted that insects encode odor identity in terms of the stimulus specific rate patterning observed in the projection neurons of the antennal lobe (AL). Several studies have explored nonlinear dynamical frameworks in order to gain general insights into the mechanisms underlying the observed dynamical phenomena. The currently most popular framework is the heteroclinic orbit (HO) developed by Rabinovich and collaborators -3. This Despite its obvious appeal there has been little work on applying the HO framework to more detailed conductance based models of olfactory dynamics even though it is in principle possible to obtain HO dynamics from biologically plausible neurons . HoweverHere we describe an alternate nonlinear dynamical framework which provides an appealing account of both the origin and function of rate patterning dynamics. We start by analytically reducing a biologically plausible conductance based model of the AL to a quantitatively equivalent rate model and construct conditions such that the rate dynamics are well described by a single globally stable fixed point. We then straightforwardly describe the AL's response to an odor stimulus as rich transient trajectories between this stable baseline state and an odor specific fixed point. We show how this framework can account for a disinhibitory period observed immediately after the stimulus is removed, for the qualitative differences between the dynamics in the presence and the absence of odor and for the invariance of odor identity to both the duration and intensity of an odor stimulus, as reported in . We comp"}
+{"text": "Current cognitive models of social phobia converge on the view that negative imagery is a key factor in the development and maintenance of the disorder. Research to date has predominantly focussed on the detrimental impact of negative imagery on cognitive bias and anxiety symptoms, while the potential benefit of promoting positive imagery has been relatively unexplored. Emerging evidence suggests however that positive imagery could have multiple benefits such as improving positive affect, self-esteem and positive interpretation bias, and enhancing social performance. The present article defends the view that combining bias induction with a repeated practice in generating positive imagery in a cognitive bias modification procedure could represent a promising area for future research and clinical innovation in social anxiety disorder. People with social anxiety disorder (SAD) frequently report experiencing negative self-imagery of how they think they appear to others in feared social situations may have favored the generation of observer perspective imagery. Encouraging the use of field perspective imagery is likely to produce stronger effects on negative and positive emotions, and counteract the natural tendency among socially anxious individuals to imagine themselves from an observer perspective. A second caveat with regards to the methodology used is that it may be too challenging for individuals with clinical levels of social anxiety to recall and elaborate on a time when they had experienced a positive social situation. This possibility is supported by recent evidence showing that social anxiety is associated with an impairment in generating detailed imagery of past positive events for people with high levels of social anxiety (Murphy et al., The present article defends the view that combining a repeated practice in generating positive imagery with a CBM-I intervention may be a helpful component in future treatment of SAD. A similar hypothesis has been suggested in the context of depression (Holmes et al., The effects of imagery-focussed CBM on depression have been tested using analog and clinical samples of depressed participants (Blackwell and Holmes, Lang et al. addresseSAD is a highly prevalent condition that causes considerable distress and significant functional impairments (Kessler et al., The author declares that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Despite the huge progress in the understanding of the pathomechanism of thyroid orbitopathy (OT) done during recent years this extrathyroidal manifestation of Graves\u2019 disease still remains one of the most complex problems of clinical endocrinology. The outcome of the management is not satisfying neither for patient nor for physicians. Some likelihood of the improvement of the results may be expected from innovative treatment options basing on the progress in understanding of mechanisms of autoimmunity and inflammation. On the other hand an effort must be done for the progress in the existing treatment regimes.Glucocorticoids have been used in the treatment of severe OT for over 50 years but irrespectively of therapeutic regime any improvement in eye changes may be achieved only in ca. 70% of patients. Numerous schemes of glucocorticoid use should be validated, optimized and meet an individual approach as well as adhere to the local capabilities.The common adjuvant treatment with selenium in Graves\u2019 disease patients may prevent from a development of eye symptoms and possibly will improve the quality of life.The mode of management of hyperthyroidism has an influence on OT. Medical and surgical therapy seem not to deteriorate the course of OT while radioiodine therapy may worsen eye symptoms. OT patients at high risk should get the preventive glucocorticoid treatment.The access to a surgical treatment procedures as orbital decompression and rehabilitative surgery must be assured for OT patients and techniques of surgical procedures should be developed.The results of anticytokine therapy are promising and the progress in this field may be expected while the value of newly developed TSH receptor blocking molecules needs further observations.The frequency of circulating CD40(+) fibrocytes is markedly increased in patients with OT, suggesting that this receptor might represent a therapeutic target for OT.An increase in a local steroidogenesis documented within orbital tissues in an active phase of OT rises the idea of the use of 11\u03b2 hydroxysteroid dehydrogenase-1 inhibitors in OT patients. These drugs are under intensive clinical investigation for the treatment of type 2 diabetics.Since recommendations basing on EBM according to the pivotal problems of the management OT are still lacking, the system of care for OT patients should be based on centres of excellence with proper experience and multidisciplinary approach."}
+{"text": "DACS was developed to design a HTS collection or focused libraries for the FMP Screening Unit. But the dramatically increase of unique compounds of one order of magnitude from less than 10 to around 30 to 40 million compounds currently and approximately hundred million compounds in the next years requires a reorganization and redevelopment of the storage and searching strategy. To manage such a massive amount of data a relational database for registration and normalization of vendor catalogs was developed. This database contains the highly redundant data of the vendor catalogs and is converted in a second step into the non-redundant Unique Structure Database which represents a data warehouse combining vendor data, structural descriptors and in-house classification tools including our earlier developed ADMET- and reactivity filters as well as our in-house fragment-based fingerprints used for library design tasks ["}
+{"text": "The current study by Won and colleagues concluded that patients undergoing revision ACL surgery have a greater incidence of significant varus alignment compared with patients undergoing primary ACL reconstruction. The authors also observed that this varus alignment was associated with meniscal pathology and degenerative changes of the knee. The report of varus alignment provides an interesting observation that goes a step beyond the findings of the Multi-center Anterior (C)ruciate Revision Study (MARS) , but leaThe strength of the manuscript is that it reminds us that varus malalignment is a potential variable to be mindful of. It also serves to warn surgeons they should be aware of possible failure of the graft, and continuing pain related to medial compartment degeneration. Won and colleagues\u2019 attention to detail in establishing an effective protocol for the long-leg films is important because standing long-leg radiographs are fickle in terms of being able to demonstrate consistently the true amount of coronal plane alignment.Kim and colleagues reportedAnother MARS study indicateWe need to perform a large prospective case-control study observing primary ACLs over a long period of time, and separately analyzing those who have initial varus with intraarticular pathology from patients who do not. We need to conduct followup analysis to determine whether the varus indeed increases the risk of ligament failure. Such a study should also observe the progression of osteoarthritis and secondary development of varus deformity so we could get a better picture of the natural history.Another study that would help fill in our current knowledge gap would be examining the existence of medial compartment osteoarthritis in an ACL deficient knee that has already had a failure of a primary ACL surgery. It should be determined, in the setting of a large randomized controlled trial, whether those patients who undergo a high tibial osteotomy at the same time as ACL revision surgery will fare better than those who have an ACL revision without an osteotomy.This should be a very well-defined study group with radiograph-based alignment protocol similar to the one used in the current study. How much varus is necessary to change the odds ratio for ACL revision alone? Is varus thrust indeed the only game changer? Will staging the stabilization and the realignment procedure provide the patient with a greater number of years of satisfactory function? These important questions remain unanswered."}
+{"text": "Hereditary diffuse gastric cancer (HDGC) is an autosomal dominant, rare familial cancer syndrome in which affected individuals develop diffuse gastric cancer at a young age. Mutations in the E-cadherin gene (CDH1) have a 70% lifetime risk of becoming gastric cancer and women with the gene have a 20-40% risk of developing lobular breast cancer.This paper will report on a series of young adults who have undergone predictive genetic testing and been identified as carrying the CDH1 mutation known to be present in their family. The majority of these patients have been diagnosed with gastric cancer at their first screening gastroscopy.Individuals who are known to carry the mutation are provided with a personalised cancer risk management plan with the aim of reducing morbidity overwhelmed by the number of appointments they receive and by the variability of information given to them, as care often moves from and between several teams. A care pathway has been developed by the oncology/genetics nurse to ensure optimal communication between the genetics and oncology treatment team, to ensure the best outcome for the patients. The oncology/genetics nurse coordinator with her specialist knowledge of genetics plays a vital role in facilitating ongoing follow up of these individuals, coordinating screening, educating patients and their family on risk management strategies.This paper will provide a clinical update on this rare familial syndrome will describe the needs of patients and families affected by this condition and illustrate the contribution that expert nursing care makes to the outcomes of people affected by HDGC."}
+{"text": "SweTree Technologies is a plant and forest biotechnology company providing products and technologies to improve the productivity and performance properties of plants, wood and fiber for forestry and fiber related industries.Eucalyptus and Populus elite clones. Another crucial part of a practical tree biotechnology program is to test the GM trees with commercially interesting genes under field conditions. We have initiated field trials and plan to have over 35 different types of transgenic trees in field trials by the end of this year. These field experiments are performed by SweTree or in collaboration with academic partners. The importance and requirements for elite clone transformation and field trials will be discussed in the presentation.In the area of Biotech Trees, we have been testing and developing genes and biotech trees. Since 2002 we have successfully screened well over one thousand genes in our gene testing program. The program has been mainly directed towards increased growth, improved wood properties and stress tolerance. The current outcome of this program will be presented. The primary gene developing program is performed in hybrid aspen for which we have a very efficient transformation protocol. However for practical tree biotechnology the genes and DNA constructs have to be transformed into the best commercial clones. Therefore we have been setting up efficient transformation protocols for both"}
+{"text": "Atrial fibrillation (AF) is the most common arrhythmic complication in the postoperative period, occurring in about a third of patients undergoing coronary artery bypass graft surgery ,2. It isPharmacological interventions have been the mainstay of preventive therapy. Beta blockers have been shown to be the most effective preventive therapy and it is recommended now to continue or initiate beta blocker therapy for all patients in the perioperative period . AmiodarAtrial pacing is an attractive non-pharmacological intervention for the prevention of atrial fibrillation. Pacing in the postoperative period is easy to implement since it is only required for a short period and can therefore be performed using epicardial temporary pacing wires placed by the surgeon. The mechanisms by which atrial pacing is postulated to reduce the incidence of atrial fibrillation include reduction of bradycardia induced dispersion of atrial repolarization and overdrive suppression of atrial premature beats. Dual site atrial or biatrial pacing may result in additional benefit by promoting more synchronised atrial depolarization which results in reduced dispersion of atrial refractoriness and by altered atrial activation patterns that may prevent the development of intra-atrial reentry . ProphylIn this issue of the journal, Chavan et al report o"}
+{"text": "Glyceryl trinitrate is a substance that causes vasodilation by donation of nitric oxide which causes relaxation of the endothelium of blood vessel walls. The vasodilatory effect of this substance has been known since 1870 and it has been used extensively in the treatment of angina via transdermal patches, sublingual tablets and sprays. Studies involving normal vasculature as well as diseased vascular states have been promising in terms of demonstrably consistent and significant vasodilatory effects on both systemic and peripheral systems. Podiatric application for this pharmacologic intervention seems to have received little attention in the literature to date. Its efficacy in equine treatment of laminitis, an ischaemic condition of the horses hoof has been well established and researched. It has been applied to other clinical problems involving perfusion of the extremities, such as treatment of inability to achieve penile erection and use in treatment of anal fissures. A literature search has produced information on this drug which suggests potential for greater application in clinical podiatry. This includes positive effects in digital perfusion, which holds promise for wound healing and shows potential for reducing amputations associated with peripheral vascular disease (PVD). This novel therapy has the potential to be useful in cases with borderline vascular supply that require a boost to perfusion to trigger the healing process and/-or relieve other symptoms of ischaemia. It has also been found to be of assistance in the management of painful diabetic neuropathy (PND). This finding is of particular interest as an adjunct to treatment for the prevalent and difficult clinical challenge of PND. The literature regarding its use in musculotendinous applications such as for Achilles tendinopathy will also be covered in this review. Potential issues with this drug including side effects and tolerance will be addressed. Further study of this treatment modality would be beneficial in terms of determining specific indications and limitations of its use, particularly for vascular insufficiency of the feet and healing of foot ulceration."}
+{"text": "Flexible bell margins are characteristic components of rowing medusan morphologies and are expected to contribute towards their high propulsive efficiency. However, the mechanistic basis of thrust augmentation by flexible propulsors remained unresolved, so the impact of bell margin flexibility on medusan swimming has also remained unresolved. We used biomimetic robotic jellyfish vehicles to elucidate that propulsive thrust enhancement by flexible medusan bell margins relies upon fluid dynamic interactions between entrained flows at the inflexion point of the exumbrella and flows expelled from under the bell. Coalescence of flows from these two regions resulted in enhanced fluid circulation and, therefore, thrust augmentation for flexible margins of both medusan vehicles and living medusae. Using particle image velocimetry (PIV) data we estimated pressure fields to demonstrate a mechanistic basis of enhanced flows associated with the flexible bell margin. Performance of vehicles with flexible margins was further enhanced by vortex interactions that occur during bell expansion. Hydrodynamic and performance similarities between robotic vehicles and live animals demonstrated that the propulsive advantages of flexible margins found in nature can be emulated by human-engineered propulsors. Although medusae are simple animal models for description of this process, these results may contribute towards understanding the performance of flexible margins among other animal lineages. Medusae are thought to be the first metazoans to evolve muscular swimming. The simplicity yet functionality of the biomechanics of their swimming make them an ideal organismal model for studying fundamental mechanisms of animal propulsion. Many medusan species swim using rowing propulsion Existing literature provides a conflicting picture of the potential interactions between propulsor flexibility and swimming thrust production. Empirical An important reason for the absence of design criteria guiding application of flexible propulsor tips or margins is that, despite an extensive body of work on flexible propulsors, the mechanistic basis for thrust augmentation by flexible propulsor margins remains unclear A recently developed robotic jellyfish vehicle has provOur approach to determining the mechanistic basis of thrust augmentation by flexible propulsor margins was to compare propulsion by robotic jellyfish vehicles with and without flexible bell margins to each other and to live medusae . With thAurelia aurita. The other was modified to represent the Cyanea capillata morphology by excising portions of the bell to form gaps along the bell margin to quantify vehicle kinematics as well as fluid motions x and y coordinates of the apex of the vehicle bell and the tips of the bell margin over time. Swimming speed was calculated from the change in the position of the apex over time ash/d where h represents bell height and d represents bell diameter.Swimming kinematics were quantified by using ImageJ software (NIH) to track the u is the Eulerian velocity field.Pressure field data was inferred from the measured velocity fields by numerically integrating the inviscid Navier-Stokes equation, or Euler equation:u. The pressure term was then determined to within a constant of integration by integrating The material acceleration term To reduce errors in the numerical integration of the measured velocity data, the procedure of Liu and Katz kt and subsequently advected to new positions kt+1. The initial velocity of each fluid particle is given by the measured DPIV velocity field at time kt . The velocity of each fluid particle at time kt+1 depends on the measured DPIV velocity field at time kt+1 and on the position of the fluid particle at the same instant in time. To determine the position of each fluid particle in the flow at time kt+1, we defined an advection velocity field in which the fluid particles are carried. The advection velocity field was taken to be the average of two successive DPIV velocity fields:ua was assigned to the first time instant kt by the present convention. The positions of the advected data grid points at time kt+1 are therefore estimated asi and j are unit vectors in the x- and y-directions, respectively. The material acceleration was then estimated asThe input to the version of the code used presently (kindly provided by X. Liu) took as input a time series of DPIV data on a 128\u00d7128 grid. Preprocessing of the DPIV data was completed in MATLAB to compute the material acceleration As a check of the dependence of the results on viscous stresses, which are neglected in The output of the code was a time series of pressure fields with scalar pressure computed at each of the 128\u00d7128 nodes of the corresponding DPIV fields.Live medusae originated from cultured collections of the New England Aquarium, Boston, MA. Video and DPIV methods were the same for both live animals and medusan vehicles except that the live medusae were video recorded in filtered seawater.Aurelia and Cyanea vehicles. While we did not treat the two vehicles as replicates, because of their different bell configurations, the flap and no-flap versions of each do provide repeatable validation of the effects of a flexible propulsor on the fluid interactions and swimming performance of the vehicles. Means and variability estimates on figures with error bars were calculated by averaging over three consecutive swimming cycles.Due to the intensive effort involved in manual manufacturing of robotic vehicles we were limited in terms of number of the Aurelia aurita and Cyanea capillata. The proficiency of swimming was quantified as the diameter-normalized swimming speed to account for differences in size between the live and robotic jellyfish, U/D where U is medusa velocity and D is relaxed bell diameter Cyanea flap version was less than that of both Aurelia versions (flap and no-flap).Biomimetic robotic jellyfish vehicles closely replicated the morphology and apprAurelia robot during bell contraction demonstrates how the flexible margin contributed to the differences we observed in wake circulation and swimming performance. During bell contraction there were two sources of fluid momentum that contributed to the starting vortex circulation, the flow that was expelled, or pushed, from the subumbrellar volume and the flow that was entrained, or pulled, from outside the bell by the contracting bell margin was strongly related to the distance between the tip of the bell margin and the inflexion point . Furthermore, the enhanced performance was due to both thrust augmentation during bell contraction and to more optimal spacing between consecutive starting and stopping vortex rings during bell expansion. The strong resemblance of vorticity patterns generated by the robotic vehicles with those of living medusae supports the notion that the flexible bell margins of medusae function to enhance thrust similarly to the flaps of the robotic vehicles. These observations enable us to suggest some mechanisms by which thrust augmentation by flexible propulsors may guide future studies on this topic.The utilization of robotic vehicles to examine biological propulsion has provided insight into just how important flexible propulsors are for some swimming animals. These vehicles, in combination with the simple body plan of medusae, have also enabled us to visualize the structural differences in the fluid interactions of flexible and rigid propulsors. Visualizations are necessary to begin to understand the mechanistic basis of the enhancement in propulsion provided by flexible propulsors and begin applying these principles more generally. To summarize what can be taken away from these more or less preliminary observations of propulsion by robotic jellyfish, we found that flexibility significantly enhances the swimming performance of both the robotic vehicles examined (Much of the performance differences between the flap and no-flap vehicles can be attributed to the higher vortex circulation generated by flexible bell margins during bell contraction. Higher circulation is expected to augment performance because thrust production of a propulsor is proportional to the circulation generated at the propulsor margin Rather than the previously reported explanations, we suggest that increased circulation characterizing flexible bell margins was more likely due to unique hydrodynamic forces generated by bending at the inflexion point connecting the flexible margin to the more rigid actuating structure of the vehicle's bell. During bell contraction, a low pressure region extended along the exumbrellar surface from the bell margin to the inflexion point of the flap vehicles. This low pressure region was larger and lower in magnitude in the flap vehicles than the pressure along the bell margin of the no-flap vehicles. Consequently, entrained flow in this low pressure region at the inflexion point initiated vortex formation and merged with flow expelled from the inside the bell at the margin edge. The larger volume and velocity of this flow is directly related to the low pressure field and resulted in larger starting vortex formation at the bell margins, and hence, greater overall thrust production by vehicles with flexible margins. Although we have focused on empirical visualization and quantification of fluid flows surrounding vehicle margins, these results are consistent with computational fluid dynamic models describing pressure gradients surrounding swimming bells of oblate medusae. Swimming by oblate medusae generates pressure differences at the bell margin due to formation of a high pressure region within the medusa bell and a lower pressure region outside the bell margin at the region of greatest bell displacement Aurelia aurita are consistent with the proposed mechanism by which flexible margins enhance swimming performance. Other mechanisms likely contribute to this simple pressure mechanism such as the angular motions associated with flexible flapping which may facilitate vortex formation These observations lead us to suggest that one way that flexible propulsors enhance performance of swimming jellyfish is by intensifying the low pressure region associated with the propulsor thereby increasing fluid flow and therefore overall thrust . The relIn addition to enhanced thrust generated during bell contraction, performance of the flap vehicles was also better during bell expansion. Vortex interactions during bell expansion appear to largely influence the overall swimming performance of the vehicles. The collision of the stopping vortex of the no-flap vehicle with the oppositely spinning starting vortex cancelled out the overall circulation in the wake and stopped the vehicle's forward progress. This observation suggests two things, first, that interactions between starting and stopping vortices play important roles in determining the medusan swimming performance. Consequently, adequate spacing of these vortices by propulsor kinematics appears to be essential for swimming. Second, the flexible propulsor spaced the vortices more optimally than the rigid propulsor. By increasing the spacing between the two vortices, the starting and stopping vortices did not cancel each other out and the circulation in the wake dissipated slowly due to viscous dissipation. Consequently, the flap vehicles continued their forward progression during bell expansion. Numerical simulations of other flexible propulsors support the notion that flexibility increases spacing between shed vortex rings by increasing the downstream advection of the vortices The absence of complicating fluid interactions, such as with additional fins or appendages, makes the simple morphologies of medusae useful for exploration of essential fluid interactions between a propulsor margin and surrounding fluids. Despite their simplicity, the fluid mechanical basis of enhanced vortex production by flexible medusan margins may have wider application to other biological propulsors. The suitability of the medusan bell margin model for comparison with other flexible propulsors is influenced by the extent to which a propulsor margin's bending creates an inflexion point near the margin. A variety of biological propulsors such as wings and fins fit these conditions and fundamental relationships between actuator force, margin dimensions, and flexural stiffness distributions may be important factors influencing the role that flexible margins play in propulsive force generation by propulsors of both natural and man-made design. A more full understanding of these interactions will allow us to appreciate the means by which animals convert the energetic liability that tip vortices present for fixed wing aircraft"}
+{"text": "Diagnostic and Statistical Manual of Mental Disorders, fifth edition (DSM-V) as a disturbance in attention and awareness according to several criteria and the fact that the cytokine response can be confounded by many factors is protective for the development of delirium while genetic polymorphisms in the receptor DRD2 and dopamine transporter genes, were associated with delirium when nervous system damage occurs as a result of cerebral damage has been reported to regulate differentiation of neural progenitor cells and butyrylcholinesterase (BuChE) are involved in the production of inflammatory cytokines, and are hypothesized to play a role in PD development through this mechanism. One study found significantly decreased activity of these enzymes both preoperatively and postoperatively in patients experiencing PD (Cerejeira et al., The pathogenesis of PD is still poorly understood. Further elucidation and refinement of biomarkers to track the risk and progression of this disorder would help in the identification and treatment of patients at risk for this devastating disorder. Future research should focus on both identifying serum markers of delirium and understanding the genetic basis behind these processes. Hopefully, these efforts will make important strides in improving outcomes of patients experiencing delirium.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "The trend towards universal access for HIV prevention and treatment that was initiated at the beginning of the 21st century has been threatened by the 2008\u20139 economic crisis which currently translates in a fiscal crisis for most developed countries . Other advances such as the drastic drop in ARV drug prices are also threatened . The presentation will discuss the negative consequences of slowing down and delaying universal access on macro-economic growth in the most affected countries and suggest alternative sources of funding such as the financial transaction tax recently introduced by the French Parliament."}
+{"text": "Following SCI activated ependymal cells generate progeny cells which migrate to the injury site but fail to produce the appropriate type of cells in sufficient number to limit the damage, rendering this physiological response mainly ineffective. Research is now focusing on the manipulation of ependymal cells to produce cells of the oligodendrocyte lineage which are primarily lost in such a situation leading to secondary neuronal degeneration. Thus, there is a need for a more focused approach to understand the molecular properties of adult ependymal cells in greater detail and develop effective strategies for guiding their response during SCI.Spinal cord injury (SCI) is a major health burden and currently there is no effective medical intervention. Research performed over the last decade revealed that cells surrounding the central canal of the adult spinal cord and forming the ependymal layer acquire stem cell properties either Neural stem cells (NSCs) are specialized progenitor cells that can self-renew and generate both neurons and glia in the central nervous system (CNS). The first isolation of NSCs from adult brain lunched a new field of studies in neuroscience of the forebrain are produced from OL progenitors (OLPs) scattered throughout the parenchyma Miller, . SeveralWhile all NSCs in the SVZ of the forebrain express the stem cell markers Nestin, Sox2 and GFAP, in the spinal cord only dorsally situated ependymal cells express Nestin/GFAP, while Sox2 is expressed in all ependymal cells . It is also intriguing that the Gata3 gene has never been found to be expressed in any CNS progenitors but only in some differentiated neurons. In the spinal cord, Gata3 is expressed in V2b interneurons and its expression is regulated by Notch signaling , an agent that promotes axonal regrowth, possibly by recruiting myelinating OLs [reviewed by Weishaupt et al. ]. More rIn parallel to pharmacological manipulation of specific type of cells to limit functional impairment, the modulation of endogenously recruited ependymal-derived cells toward the OL lineage either using genetic engineering or by pharmacological means has not yet been reported. The fast-growing knowledge on glial cell specification during embryonic development should aid in this direction. For instance, the study of the regulation of the expression of the transcription factor OLIG2 in adult spinal cord could prove very useful in this regard. OLIG2 is not expressed in ependymal cells but only in OLPs scattered throughout the parenchyma (Meletis et al., In summary, several studies on the properties and behavior of ependymal cells in models of SCI have converged on to a number of findings that could pave the way for more effective therapies. Of major importance is the recruitment of a large number of ependymal-derived cells at the injury site while at the same time maintaining the ontogeny of the canal. Equally important is the fact that the astrocytes produced are positioned in the center of the glial scar opening the way for a more targeted approach to manipulate the fate of activated ependymal cells. Crucial in these efforts is to develop strategies for initiating remyelination at the injury site by manipulating the fate of cells produced from activated central canal stem cells. Forcing these cells to initiate a pro-oligogenic pathway of glial specification should be at the center of future experimentation. Such effort should be aided through combined approaches using knowledge from embryonic development and cellular responses following tissue damage in SCI conditions. It is likely that in the next few years we will be confronted with exciting developments that will open the way for clinical trials to treat SCI.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Detrended fluctuations analysis (DFA) is a tecWe derived analytical formulations for the bias and variance of the error committed when using the scaling exponent obtained by DFA on a given time-series to predict the scaling exponent of the same time-series but shifted by one sample . These results make it possible to define a Kalman filter for tracking fluctuations in scaling exponents over a longer time scale. Estimates for the measurement noise of the filter are obtained by pooling DFA estimates of the signal across a small number of time shifts. Robust estimates of the state vector are obtained by augmenting the filter with a smoothing procedure.Simulation results with surrogate time series demonstrate that this technique makes it possible to accurately recover changing scaling exponents even in the presence of rapid fluctuations (see Figure"}
+{"text": "Since mid 2011 the tragedy unfolding across the Horn of Africa following prolonged drought in the region has been a major focus for international relief operations and emergency aid. However, the most effective strategies for mitigating the effects of the drought have not been given sufficient media coverage or discussed critically enough in the public arena. Instead, while important and necessary, the focus has largely remained on emotive pleas for increased aid. This unfortunately, detracts from a considered discourse on the most effective interventions in the current circumstances and reduces scrutiny on performance of the primary agencies and bodies responsible for coordinating the relief effort. The authors present a personal perspective having recently returned from the Dadaab refugee camps where much of the relief effort has focused. The Dadaab refugee camps, located in the North Eastern Province of Kenya approximately 60 miles from the Somalia/Kenya border and about 320 miles from the capital, Nairobi highlight concerns around the delivery and distribution of relief and aid. The three original camps, Ifo, Dagahaley and Hagadera were established in the early nineties following the onset of inter-clan conflict in Somalia. The vast majority of refugees present are Somalis from Central and Southern regions of Somalia. While the populations in the camps remained relatively stable from 1994 to December 2006, this year in particular has seen hugely increased numbers of refugees arriving over the border as a result of the drought. With over 160,000 new refugees having arrived\u00a0in the first eleven months of\u00a02011 alone, the camp complex now (as of November 2011)\u00a0holds in excess of 460,000 refugees in total according to UNHCR - the primary agency mandated with coordinating relief activity within the camps.Using a combination of focus group discussions and one to one interviews with refugees and members of the host community and following detailed discussions of comprehensive assessments carried out by NGO service providers within and outside the camps the authors conducted a rapid needs assessment over July 2011. The following discussion draws from those results as well as from more recent assessments and developments in the months since.The paediatric age group continues to be the most badly affected in terms of severe acute malnutrition and global acute malnutrition rates amongst newly arriving refugees.Another major area of concern in Dadaab is equity in the distribution of relief aid and service provision within refugee camps and adjacent areas. In the surrounding districts of Dadaab, Liboi and Fafi, the Host Community has also been suffering the consequences of the same drought plaguing the rest of the Horn. They, however, do not have equal access to services and relief routinely available to refugees. Healthcare services in the region exemplify these inequalities in aid provision. The three main camps are serviced by three hospitals with a total of 320 inpatient beds, 3 operating theatres, specialist outpatient services manned by doctors and visiting specialists. A structured referral system for specialized surgery and medical care in Garissa-the provincial capital, and Nairobi is also available to refugees. The Host Community which is approximately 150,000 strong and of a similar ethnic background to the majority of refugees only have access to outpatient health facilities within the camps. The only in-patient hospital service the Host Community has access to is a 30 bed district hospital (open to both the Host and refugee community) with 1 operating theatre. The most senior routine medical staff providing clinical care at this hospital are 2 clinical officers . A single Kenya Red Cross ambulance serves all three districts. These disparities are mirrored across other service sectors with old and new refugees having access to free food rations, water, sanitation and housing in an impoverished area where host communities are not routinely provided any of these services by the government or the NGOs.A perversely functioning artificial city-state has thus developed supported entirely by international Non- Governmental Organizations (NGOs) where older refugee camp residents after years of free utilities and services have developed successful businesses and even rent out their refugee shelters to newer arrivals or Host Community members and who can undercut any Host Community business with lower overheads. Host Community Kenyans often register as refugees themselves in order to avail improved healthcare services and obtain rations when necessary. A jointly commissioned report by the Danish and Norwegian Embassies and the Government of Kenya in 2010 estimated that at least 40,500 host community members hold refugee ration cards.The long term key to resolving the situation in Dadaab lies in recognizing that pastoralist Somalis have ancient patterns of movement which involve crossing to and fro across the artificial line that divides Kenya and Somalia and that services designed to cater for this group should facilitate and take account of their nomadic lifestyle. NGOs, local or otherwise able to operate on both sides of the border should thus be supported in their efforts to provide this service. UNHCR itself should be encouraged to view the situation holistically and look beyond its remit of catering specifically to refugee needs by partnering with organizations with a wider mandate that includes the Host Community. This will ensure that Somalis that cross into the territory of Kenya are both willing and able to cross back into bordering Somali provinces and obtain equitably provided services there as well. The authors would like to thank the team at Doctors WorldWide in Kenya for facilitating the field assignment to the Dadaab camps in July 2011. N/A The authors have declared that no competing interests exist."}
+{"text": "Plants are constantly exposed to potential pathogens in their environment. The intimate associations involved in plant-microbe interactions have influenced the evolution of a multi-faceted surveillance system to detect and respond to both the presence of microbes at the cell surface as well as the presence of pathogenic effectors inside the cell. Here, we bring together 11 reviews that discuss current concepts in plant innate immunity with a focus on protein biology and proteomics is closely connected to defense responses, both as a large intracellular store of calcium and as the site of immune receptor biogenesis. Eichmann and Sch\u00e4fer review tAdapted pathogens must evade or suppress host immune responses in order to colonize tissues and cause disease, and they deploy numerous effector proteins to secure this objective. Wirthmueller and Banfield focus onProteomic methods have facilitated the identification of key players involved in plant immunity and have shed light on the significance of post-translational modifications and protein interactions in the regulation and transduction of immune signaling. In future, the use of large-scale and highly sensitive quantitative proteomics in combination with emerging transcriptomic and imaging technologies will play a central role in uncovering the kinetics of immune signaling pathways, which currently remains a challenge. This is an exciting time to be involved in plant immunity research and we hope that this collection of reviews will inform and inspire our readers."}
+{"text": "Pharmaceutical industry consolidation and overall research downsizing threatens the ability of companies to benefit from their previous investments in translational research as key leaders with the most knowledge of the successful use of biomarkers and translational pharmacology models are laid off or accept their severance packages. Two recently published books may help to preserve this type of knowledge but much of this type of information is not in the public domain. Here we propose the creation of a translational medicine knowledge repository where companies can submit their translational research data and access similar data from other companies in a precompetitive environment. This searchable repository would become an invaluable resource for translational scientists and drug developers that could speed and reduce the cost of new drug development. There is a well known problem in big pharma, low productivity despite high costs. It has become clear that the pharmaceutical industry's business model is broken . ResearcCompanies have consolidated through mergers and acquisitions resulting in lay-offs for thousands of researchers and the closing of hundreds of laboratories to avoid perceived redundancies, focus on what is considered to be more productive or lucrative therapeutic areas and save costs . Just coTranslational Medicine and Drug Discovery was to provide a guidebook for current and future translational medicine scientists and to clearly describe successful strategies for early drug development that utilize biomarkers and state of the art technologies. This book partially addresses the issue described above. It includes sections and chapters describing successful translational strategies for early drug development, principles of biomarker qualification and utilization in drug discovery and development, in-depth examples of translational research in six different therapeutic areas, translational imaging technologies, modeling and simulation and examples of pre-competitive collaborations between companies in many areas including biomarkers and drug safety [Biomarkers in Drug Development, also attempts to serve as a \"handbook of practice, application and strategy\" for translational researchers [One of the reasons Littman and Krishna decided to create a textbook entitled g safety . Anotherearchers . HoweverWe believe that companies and other institutions involved in translational drug research need to foster the discipline of translational medicine, maintain a knowledge base of their work and, when it is not proprietary, share that knowledge through publication and pre-competitive collaborations. It is often easier to find the published results of translational research performed by others than it is to find the unpublished results of translational research done within your own institution, especially if the drug projects the research supported were discontinued. For this reason we advocate the creation of a searchable knowledge repository for human translational research. This database could be maintained by a consortium of drug companies that voluntarily submit data and it would include human biomarker data, translatable human pharmacology models and other types of clinical methods that have been used in humans to measure drug responses. A structured database like this could be initially populated by data from failed drug projects with no significant loss of competitive advantage to contributing companies and institutions. Also, time is not on our side. The opportunities to capture this type of information decreases almost monthly as companies continue to reorganize, downsize and consolidate. It can only happen if those involved in these projects are still employed and have access to their companies' data.Imagine the benefits if this human translational medicine database existed today and could be searched by drug target, pathway, biomarker, disease, therapeutic area, challenge agent and translational pharmacology model name or description. It would become the first place to look when developing a translational research plan for a new drug project. It could potentially prevent reinventing proven clinical methods and replicating past biomarker and human model qualification efforts. Often there are multiple choices for achieving proof of mechanism for new drugs and this database would simplify the choice when an acceptable existing method or biomarker can be easily found. Use of the database could also translate into reduced costs and reduced time for drug development and enable the comparison of results from newer drugs with those from past drug projects. These comparisons will also aid decision-making based on the data from existing projects compared to older failed or successful projects. We urge companies to strongly consider adopting this recommendation and finding a home for the database perhaps under the auspices of an existing consortium such as The Biomarker Consortium managed by the Foundation for the National Institutes of Health (FNIH) ."}
+{"text": "Journal of the American Heart Association (JAHA), the American Heart Association's new Open Access journal. The Scientific Publishing Committee created JAHA to align the American Heart Association with recent trends in the publishing industry as readers have moved away from the print version of journals and increasingly seek rapid electronic access to scientific articles. In addition, JAHA was conceived as a novel publication forum to represent the collective interests of the 16 Scientific Councils .6 This paper is important because of the need for more comparative effectiveness research to guide the management of peripheral arterial disease and the importance of publishing both positive and negative studies. Fonarow et al showed that the National Institutes of Health Stroke Scale (NIHSS) provides strong prognostic information about 30-day mortality risk in Medicare beneficiaries with acute ischemic stroke.7 The forthcoming editorial by Dr Edward Jauch, Chair of the American Heart Association Stroke Council, explains how these findings may be used to better evaluate the performance of centers that manage patients with ischemic stroke.8 Finally, Barkoudah et al provide an interesting analysis of published clinical trials in patients with Type 2 diabetes mellitus providing new information about the increasingly recognized links between renal disease and cardiovascular mortality.9Our launch includes a number of outstanding papers that exemplify our goal to publish a broad range of cardiovascular science. A translational study by Ammirati et al links a specific T-lymphocyte subset to the extent of atherosclerosis in human subjects and a murine dyslipidemia model.JAHA. The editors believe that the open access format represents the future of scientific publishing and we are excited and honored to oversee the American Heart Association's first open access journal. We look forward to working with our authors to speed the dissemination of high-quality science to our readers with the ultimate goal of increasing our understanding of the underlying mechanisms and improving the management of patients with cardiovascular disease and stroke.Our first articles and editorials demonstrate our commitment to publish a wide range of cardiovascular science in"}
+{"text": "Regulatory guidelines for assessing the safety of new food crops developed using biotechnology were published in the early 1990s, before the introduction of genetically modified (GM) crops. Many GM crops are now widely adopted as 77% of global soybean and 26% of maize production is from GM varieties. The early safety assessment guidelines seem to work as there are no proven cases of harm from these products. The greatest potential risk of food allergy would be the transfer of a gene encoding an allergen or protein sufficiently identical to an allergen to a different food crop so that unexpected reactions might occur upon ingestion. These risks can be evaluated using sera from subjects allergic to the source or with a sequence matched to an allergen based on FASTA or BLASTP. Some potential risk is also possible due to de novo sensitization as nearly every food may cause occasional allergies, yet only a few foods and proteins present great risk. The current paradigm considers stability of the protein in pepsin under fixed conditions, abundance of the protein in foods and the potential impact of heating and processing, features common to some major allergens. Those methods are not fully predictive and will likely be improved through experience. However, proposed revisions by the European Food Safety Authority (EFSA) as well as demands from some regulators to include the use of short-amino acid sequence matches, animal models and evaluation of potential changes in endogenous allergen expression using proteomics approaches could reduce the effectiveness of the assessment. The value of new tests should be rigorously tested. It is clear that absolute safety is not possible and that demands for these tests have never been applied to new crop varieties derived through inter-specific hybridization, mutagenesis or the introduction of a whole new food crop."}
+{"text": "Jim McCambridge and colleagues analyze industry submissions to a Scottish Government consultation on whole-population approaches to alcohol policy. We examine how research evidence is used in alcohol industry submissions made to a Scottish Government consultation in 2008 to advocate policies in line with their commercial interests.Industry actors consistently oppose the approaches found in research to be most likely to be effective at a population level without actually engaging with the research literature in any depth.Strong evidence is misrepresented and weak evidence is promoted. Unsubstantiated claims are made about the adverse effects of unfavoured policy proposals and advocacy of policies favoured by industry is not supported by the presentation of evidence.The potential for corporations with vested interests to interfere with the evaluation of scientific evidence by policy makers needs to be restricted for effective policies to be designed.Studies of the nature of alcohol industry and other corporate influences on public policies can be informed by work already conducted on the tobacco industry.Like tobacco, alcohol is responsible for approximately 4% of the global burden of disease Alcohol industry actors, defined as all those involved with the production, supply, or sale of alcohol We examine formal submissions to the Scottish Government's 2008 consultation on \u201cChanging Scotland's relationship with alcohol\" We retrieved 27 separate submissions by industry actors made during the public consultation process from the Scottish Government's website . We extrThe views articulated on the nature of the alcohol problem facing Scottish society and appropriate policy responses are consistent across submissions. This position is encapsulated in the Executive Summary produced by the Wine and Spirit Trade Association (WSTA) Commitments to the use of evidence in policy making are often articulated. For example, the Portman Group . Pre\u2013post comparison of 335 antisocial behaviour incidents in August to 196 in February yielded an overall reduction in antisocial behaviour incidents described as 42%. A decrease in alcohol-related litter at the skate park from 21 bottles and 86 cans on the first weekend of the project to 1 bottle and 8 cans on the final weekend produced a 92% decrease (the time periods differ from previously cited outcome measure).A community partnership in the small market town of St.Neots in Cambridgeshire was widely cited as a model initiative, for example being described as successful or effective by three of the four main supermarkets. The WSTA provided a detailed account of the initiative and evaluation data provided by the local police and trading standards officers. The project \u201caimed to improve recognition amongst enforcement authorities and the wider community that retailers are in fact often the victims of attempted under-age purchasing and should be seen as the front line of enforcement rather than the cause of the problem\" [WSTA pages 34The attention-grabbing percentage decreases are provided as evidence of benefits, and cited elsewhere, for example by SAB-Miller [paragraph 18 in The submission documents contain a number of unsubstantiated claims about adverse, unintended consequences of the proposals. These claims are frequently repeated and are by their nature difficult to evaluate. ASDA Sainsbury's Portman Group SBPA WSTA SAB-Miller Industry actors present targeted harm reduction measures as the preferred alternative to the whole population approach. The latter is presented as being too simplistic and blunt an instrument. This is a false dichotomy, as these approaches are complementary and the actual evidence in favour of some targeted measures ASDA Diageo Portman Group SAB-Miller Tesco The policy preferences of industry actors, with the interesting exception of greater law enforcement, are for policies such as industry self-regulation, public information, and education, which are the least likely to be effective There are few studies of alcohol industry documents in the public domain, with the exception of investigation of ICAP Investigations of the strategies of alcohol industry actors may benefit from comparisons with other industries, and particularly with the tobacco industry. Access to internal tobacco industry documents offers researchers extensive knowledge of the political goals, strategies, and tactics of transnational tobacco companies In addition to co-ownership of alcohol and tobacco corporations Click here for additional data file.Text S2Twenty-seven alcohol industry submissions.(DOCX)Click here for additional data file.Text S3All sources cited in industry documents.(DOCX)Click here for additional data file."}
+{"text": "The Australian government has announced a major program of reform with the move to primary maternity care, a program of change that appears to be at odds with current general public perceptions regarding how maternity care is delivered.A critical discourse analysis of articles published in 'The Age', a newspaper with national distribution, subsequent to the release of the discussion paper by the Australian Government in 2008 was undertaken. The purpose was to identify how Australian maternity services are portrayed and what purpose is served by this representation to the general public.Findings from this critical discourse analysis revealed that Australian maternity services are being portrayed to the general public as an inflexible outdated service struggling to meets the needs of pregnant women and in desperate need of reform. The style of reporting employed in this newspaper involved presenting to the reader the range of expert opinion relevant to each topic, frequently involving polarised positions of the experts on the issue.The general public are presented with a conflict, caught between the need for changes that come with the primary maternity model of care and fear that these change will undermine safe standards. The discourse; 'Australia is one of the safest countries in which to give birth or be born, what is must be best', represents the situation where despite major deficiencies in the system the general public may be too fearful of the consequences to consider a move away from reliance on traditional medical-led maternity care. The Australian government has announced a major program of reform with the move to primary maternity care in line with the recommendations of the national review of maternity services released in 2009. The reform represents a program of change that appears to be at odds with current general public perceptions regarding how maternity care is delivered. Primary maternity services offer women continuity of primary carer with a midwife or general practitioner, reserving obstetric services for only those in clinical need ,2. AustrAlthough many women expect childbirth to be a potentially non-affirming event steeped in pain and fear , giving Many women know little about maternity care prior to becoming pregnant for the first time and are guided by the advice of health professionals, family and friends or the media when choosing the maternity care that best suits their needs. Information presented in the media can be highly persuasive as illustrated by two recent high profile expos\u00e8s on maternity care including the US based DVD 'the business of being born' and the Implementation of the primary maternity care reforms represents a major change to the way maternity care has been traditionally delivered in Australia. Successful implementation requires the support of the general public for whom the service is intended. One source of influence on general public opinion is the newspaper media and the news feeds that spin off to television and radio from feature articles of interest. The powerful use of language in a headline is used to attract general public attention to reports on controversial topics affecting Australian maternity care. This study examines the newspaper articles published in 'The Age' newspaper subsequent to the release of the Government discussion paper 'improving maternity services in Australia' in 2008 that herA critical discourse analysis of articles published in the 'The Age' subsequent to the release of the discussion paper by the Australian Government in 2008 was undeCritical analysis of discourse as a methodology was chosen for this study because language takes on greater significance in the arena of providing and consuming services . ObstetrCritical social theory has greatly influenced the development of CDA bringing together a wide variety of critical social theories including the way power is conceptualized . ThroughAll research data consisted of articles featuring the topics of maternity services or childbirth published in 'The Age' newspaper. Articles were obtained from the public domain, accessed through an online search of 'The Age' newspaper website. Personal information was not retrieved from any source and there was no participant involvement.A search was conducted on 'The Age' newspaper website for articles including the search terms; maternity services, birth and childbirth. A total of thirty-eight articles were indentified and included in the study. The title of each article including date and section of publication is supplied in Table Fairclough's approach to CDA links textual and sociological analysis in a way that foregrounds issues of power, resistance and identity . In thisAnalysis undertaken at the socio-cultural level refers to an analysis of the social context in which the text under investigation is produced. Texts were analysed for each key stakeholder group presented in the news article to uncover the unspoken and unstated assumptions implicit within them which have shaped the very form of the text in the first place . This leAnalysis undertaken at the level of discourse practice is concerned with the production, distribution and consumption of the text . In thisAnalysis at the textual level is concerned with the minutiae of the text such as how it is formed and what particular vocabulary and style is used in order to produce meaning . This stCritical discourse analysis is an interpretive process and acknowledges the multiple interpretations that can emerge from the text. The source of text included in the study has been explained and matched to the aims of the research. Sufficient quantities of text have been included in the analysis to capture all that can be known or said on the topic. Rigour in this study was enhanced through careful selection of text ensuring the discourses of all key stakeholders were represented in the analysis, as illustrated in Table Critical analysis of articles published in 'The Age' generated a number of discourses exerting influence on general public opinion. By far the majority of articles were concerned with sensationalising the deficiencies of maternity services. The articles featured attention grabbing headings, highlighting issues pertaining to the state of maternity services, supplemented by a range of expert opinions including the relevant government authority, medical or obstetric experts, Australian College of Midwives (ACM) and consumer groups.Expert consumer opinion was sought by 'The Age' from organisations such as maternity coalition or future families, advocates for primary maternity care reform supporting natural birth options. These organisations are well organised publicity machines promoting their position on natural childbirth . What waIn the process of sensationalising the deficiencies of maternity services, a number of articles extensively reported on the findings of a survey of 2792 mothers highlighting the traumatic or unsatisfactory experiences of women giving birth. Discourses generated from a critical analysis of that study included; 'the interests of women and their babies must be the focus of maternity care, not the system and those who work in it', 'next please, feeling depersonalised in the queue'. These discourses imply that current maternity services operate in the interests of the institution and maternity care professions and not in the interests of the women receiving care. The woman's personal experience and special needs are dismissed in an overstretched system providing a 'one size fits all service'. Selected statements illustrating the meanings of these discourses included:'Women feeling like cattle being pushed through herding yards that put both their own and their babies' lives at risk. Hundreds of women felt that both public and private maternity wards are overcrowded, needed more midwives, performed too many unnecessary medical interventions and did not provide enough non-drug options for pain relief (quote article 18).'Nothing could have prepared me for my horrible birth experience - \"herding yards does not go nearly far enough in describing the way the hospital treats new mothers and babies (quote article 14).The safety of overcrowded and understaffed metropolitan maternity services is called into question in the majority of these news articles. It has been argued that maternity care in Australia is delivered in an outmoded 'hospital nursing' model that has'A large public hospital means a huge variation in staff on different shifts, which leads to inconsistent care and the danger of falling through the cracks' (quote article 17).'The most concerning theme centres on the apparent shortage of resources in public hospitals, leaving many women feeling as if they and their infants are being exposed to unacceptable risk' (quote articles 18 & 21).'Because of workforce difficulties, care is fragmented. Women might see 12 or 13 diffent people during the pregnancy' (quote article 27).A number of the newspaper articles reported on the findings of the national review of maternity services released in 2009. One of the main messages highlighted in the articles is the need to respect women's right to choose, inferring that women are not being offered choice in the maternity care they receive. Some women in an attempt to investigate childbirth options find themselves labelled by the health professionals, on whom they rely, as being 'difficult' or 'untrusting' . Discour'Stop treating pregnancy as an illness and respect women's birth choices' (quote article 35).'Women seduced by the \"empowering\" idea that only a woman knows how to deliver her child forget that 100 years ago 1 in 10 women died from complications of childbirth and 1 in 10' (quote article 25).'Women do not have to prove to health professionals that their healthcare choices are good or worthy ones to have the right to decide' (quote article 1).Several newspaper articles question why Australian women are more anxious about their pregnancies despite Australia's safe record in childbirth. The chance of a women dying during childbirth in Australia is remote . Of conc'Many women are feeling more, rather than less, anxious about the birth process. Some blame this on our risk-averse society, saying the screens and tests and the increasing level of intervention in birth and pregnancy is geared towards making women fearful. Antenatal care has become antenatal scare' (quote article 7).'The woman's surgery was scheduled without her consent and she claimed she was bullied by hospital staff, who said her baby could die if she did not follow their advice. This new mother never wanted to birth at home - she wanted the support of the hospital but the system would not provide the care' (quote article 30).'In one Australian study, 62% of women who had a caesarean section in a private hospital said their health care provider had recommended it' (quote article 1).'There should be more continuity of care. Knowing your carer and trusting your carer removes the fear from childbirth and fear leads to more interventions' (quote article 19).The plight of rural maternity services was highlighted in a number of articles as a serious deficiency in current maternity service delivery , a situa'Since 1996, 40 maternity units had closed across the state and others were near closure. It's reflective of a general shortage of GP's across rural Australia. As a society we have not invested enough in GP proceduralists: doctors who provide obstetric care, anaesthetics or emergency' (quote article 26).'Urgent action is required to prevent women enduring \"roadside births\" as they travel hundreds of kilometres to dwindling maternity services in regional and rural Australia' (quote article 34).'Reopen my local maternity unit. Travelling while in labour is not only uncomfortable, but dangerous. .All articles retrieved for this study presented a range of expert opinion on the topic featured, usually including the relevant government authority, medical or obstetric experts, the ACM and consumer groups. Opinions represented a range of views often involving polarised positions on the issue. Consumers and midwives reinforced the position of natural birth and challenged increasing rates of medical intervention. Medicine or obstetrics highlighted the dangers of medically unassisted childbirth while the government defended the proposed maternity service policy direction. The main issue debated in the articles centred on contention surrounding government support for midwifery -led maternity services extending to including controversial home birth trials. As exemplified in the statement:'Victorian women will be able to give birth at home - with hospital back up for the first time - under a pilot project starting at three hospitals next year' (quote article 22).The safety record of home birth is reported in a number of newspaper articles as having received a boost with several large studies in recent years reporting no significant difference between planned hospital birth and planned home births, as long as the mothers have access to trained midwives ,35.'A Dutch study of more than 500,000 women reported that planning a home birth does not increase the risks of perinatal mortality and severe perinatal morbidity among low risk women provided they were supported by well trained midwives and a good transportation and referral system' (quote article 24).Medical or obstetric opinion reported in the newspaper articles reflect the position that they are the guardians of safety in childbirth in the belief that only they have the training and expertise for safe birth outcomes to be achieved . The exp'Of course, women might feel that sometimes the medical profession interferes too much in what is a natural process, but the reality is that if left to mother nature then the outcomes is not very good often. There needs to be a sensible balance struck between interfering in a natural process but judiciously intervening when things start to go wrong, or preferable before things start to go wrong' (quote article 7).'The trouble is we take safety for granted now and are arguing about quality issues, like maternal satisfaction, which is important. But I'm sorry not as, as a clinician, survival is the most important thing' (quote article 25).'If birth is a natural process so is getting cancer and dying' (quote article 12).'It's a myth to say that the most important thing is a healthy baby. Traumatic birth gets carried with you - you don't leave it at the hospital- and it can have the most profound consequences for both the mother and baby' (quote article 7).On the issue of expanding midwifery -led maternity services as part of the proposed primary maternity care reform agenda some medical and obstetric opinion reported in new articles became divergent as seen in the following statements:'I fear the introduction of a system where women are pressured into having a natural birth that puts them and their baby at risk' (quote article 18).'If we can have a patient seeing either the midwife or the GP depending on who is the appropriate person at the time, then that's going to benefit the patients and free the GP's up to be able to see other people. The GP's in rural area's providing birthing services know they can't do it by themselves' (quote article 23.1)On the issue of planned home birth there is strong resistance reported in news articles from medical experts a position supported in a recently published systematic review of the medical literature on the maternal and newborn safety . Finding'Any birth at home under the care of midwives was unsafe and should not be supported by governments (quote article 2).A source of confusion for the general public is evident in reports of obstetric opinion where midwifery services are only recognised as they relate to home birth, failing to acknowledge the work of midwives across the full range of maternity services. Discourse generated in this study; 'midwives act irresponsibly when attending a women birthing at home', 'home birth is a return to times past where mothers and babies died in vast numbers'. Selected statements illustrating the meanings of these discourses included:'Midwives do things in a home setting, that no maternity service around the developed world would think a good idea' (quote article 36).'Home births with or without midwife help, increase the risk of infant death three fold' (quote article 27).The opinions of consumers are varied. Consumers advocating for increasing services supporting natural birth project positivity around women's ability to give birth with minimum intervention in a safe environment. The consumers represented in 'The Age' survey appear fearful, unsure of what is best, placing their trust in health professionals to keep them safe. There is evidence to indicate the presence of the 'what is must be best' belief where the public values the status quo over options for which they have little experience ,41.Contrasting discourse were generated in this study; ''women are the experts in giving birth, trust our bodies to keep us safe', 'Australia is one of the safest countries in which to give birth or be born, what is must be best'. Selected statements illustrating the meanings of these discourses included:'While most mothers were generally satisfied with their experience of the maternity system, hundreds of women felt that both public and private maternity wards are overcrowded, needed more midwives, performed too many unnecessary medical interventions and did not provide enough non-drug options for pain relief' (quote article 18)'A lack of obstetricians available after hours means junior registrars are making critical decisions, often bad ones'. I was not supported well enough to have a vaginal birth. I felt like they were more concerned with getting me in and out quickly so they could free up the beds (quote article 19).Consumer opinion reported in newspaper articles on the issue of midwifery -led maternity services including home birth was sought from consumer organisations advocating for non obstetric -led services, supporting women to give birth safely with minimal intervention . Consume'Over 400 submissions to the national review from consumers, the majority requesting greater access to home birth cannot be ignored any longer' (quote article 24).'You seem to have left out the home birth option in your report. Provided the women is healthy, well informed and well supported, there is no reason she cannot give birth at home with the aid of a trusted midwife. My wife did so three times, 25 - 30 years ago (quote article 17).While most of the news articles are concerned with the exciting process of giving birth, consumer opinion raises the issue of private and public hospital care following birth. Traumatic experiences of new mothers left to care for their babies following caesarean surgery are described, as are distressing stories describing lack of support with breast feeding. Discourse generated in this study; 'recovering from the effects of surgery while struggling to mother my baby'. Selected statements illustrating the meanings of these discourses included:'Thirty per cent of women in postnatal care wards have had major abdominal surgery and they are expected to try and care for a newborn baby' (quote article 9).'Nurses are not caring for women after caesareans properly because of overcrowding. Unless you scream the loudest you don't get looked after' (quote article 19).Expert opinion supplied by the ACM strenuously challenges the obstetric position that only they have the training and expertise to safely care for pregnant women. In each article the midwifery professional body challenges current obstetric practices leading to rising rates of medical intervention and culminating in an alarmingly high rate of caesarean section in healthy young women having their first baby. Discourse generated in this study; 'rates of medical intervention in Australia are too high', 'medical intervention is not without risk it comes with the potential for serious complications'. Selected statements illustrating the meanings of these discourses included:'We (midwifery professor) have consistently found that 30% of women report that their birth was traumatic; that they feared for their life or their baby's life. This is a very high figure. We also know that about 6% go on to develop post-traumatic stress disorder' (quote article 7).'Babies born by caesarean section are more vulnerable to asthma, allergies and infection because they miss out on receiving their mothers' good bacteria during birth. Babies delivered vaginally received protective bacteria as they pass through the birth canal (quote article 8).Reported midwifery opinion reinforced the desirability of midwifery -led maternity services designed to meet the needs of women as mothers. The ability to build a relationship with a known carer based on mutual respect and trust is promoted by advocates of midwives as the panacea for being able to control levels of fear, maintain feelings of being in control throughout the birthing process and being satisfied with the outcome of the experience .The discourses identified and described in this critical analysis of articles published in 'The Age' national newspaper present the general public with a quandary, what to believe? Careful reporting, inclusive of the range of often divergent expert opinion relevant to each news item, leaves the general public and consumers to evaluate the evidence, forming their own conclusions. The right to decide what to think rather than being told what to think reflects the neoliberal values of modern consumerism a situation supported by the Australian government encouraging women to empower themselves through informed decision making regarding maternity care . The risThe general public has been inundated with headline grabbing reports outlining the deficiencies of maternity service. Obstetric practices that are insensitive and a maternity service that is inflexible resulting in women feeling traumatised by the experience of giving birth have been sensationalised. Evidence presented suggests that maternity services are not meeting the expectations of consumers. Consumer discourses identified in this study; 'the interests of women and their babies must be the focus of maternity care, not the system and those who work in it', and 'maternity care options need to be expanded to allow women choice in the care they receive' are reflected in the primary maternity care agenda for change. However expert medical discourses: 'modern medicine knows best and women would be best served to listen to the experts'; 'the demonization of women who choose to give birth naturally', and 'at least you have a healthy baby' convey a very different message positioning women seeking non obstetric -led care options at odds with maternity care providers.The discourses describing consumer experiences of maternity care in public and private hospitals: 'next please, feeling depersonalised in the queue'; 'feeling vulnerable in the care of a parade of strangers'; 'expected to place blind trust in those who know nothing about me and still feel safe' captures the consumer experience of a fragmented maternity service care and subsequent distress associated with finding themselves in territory they never dreamed possible . Women aDespite the poor performance of maternity services on many levels the general public is reassured by Australia's record of safety in childbirth, a success attributed to modern medical advances. A claim contested by the midwifery profession through The discourses of women living in rural and remote communities and strong consumer organisations representing the interests of these women have featured strongly in the proposed reform agenda ,47-49. RFindings from this critical discourse analysis revealed that Australian maternity services are being portrayed to the general public as an inflexible outdated service struggling to meet the needs of pregnant women and in desperate need of reform. The style of reporting employed in this newspaper involved presentation to the reader the range of expert opinion relevant to each topic, frequently involving polarised positions of the experts on the issue. As a result the general public are presented with a conflict, caught between the need for the changes that come with a primary maternity model of care and fear that these change will undermine safe standards. The discourse; 'Australia is one of the safest countries in which to give birth or be born, what is must be best', represents the situation where despite major deficiencies in the system the general public may be too fearful of the consequences to consider a move away from reliance on traditional medical -led maternity care.The authors declare that they have no competing interests.MM was responsible for the study conception, design, review and analysis of the literature and drafting of the manuscript. KF and YC made critical revisions to the paper for important intellectual content. All authors have approved the final manuscript.The pre-publication history for this paper can be accessed here:http://www.biomedcentral.com/1471-2393/11/47/prepub"}
+{"text": "Phalangeal microgeodic syndrome is a rare bone disorder affecting the fingers of young children, originally described by Maroteaux in 1970.The aim of this case series is to present the clinical and radiological manifestations of three affected pediatric patients, and to illustrate the redundancy of additional investigations if the physician is aware of the disease.The details of three patients with phalangeal microgeodic syndrome are summarized in the table. Three boys presented before the age of 2 years with swelling of the digits of one or both hands. Further clinical examination and laboratory evaluation were normal. On radiological examination multiple small osteolytic areas with sclerotic lining and periostal reactions were visible in the phalanges of the affected hands. All cases were treated with a conservative approach and spontaneous resolution occurred within weeks to months.Phalangeal microgeodic is a rare bone disorder presenting with swelling of multiple digits yet alarming radiological signs. These manifestations can be misinterpreted as caused by an infectious, inflammatory or osteolytic condition and prompt clinicians to expand the diagnostic process with MRI or scintigraphic imaging and even biopsy. Timely recognition of clinical and typical radiological signs may prevent unnecessary investigations for this benign condition."}
+{"text": "One major constraint upon the application of molecular crop breeding approaches is the small number of genes linked to agronomically desirable traits through defined biochemical mechanisms. Proteomic investigations of crop plants under abiotic stress treatments have identified many proteins that differ in control versus stress comparisons, however, this broad profiling of cell physiology is poorly suited to ranking the effects and identifying the specific proteins that are causative in agronomically relevant traits. Here we will reason that insights into a protein\u2019s function, its biochemical process and links to stress tolerance are more likely to arise through approaches that evaluate these differential abundances of proteins and include varietal comparisons, precise discrimination of protein isoforms, enrichment of functionally related proteins, and integration of proteomic datasets with physiological measurements of both lab and field-grown plants. We will briefly explain how applying the emerging proteomic technology of multiplexed selective reaction monitoring mass spectrometry with its accuracy and throughput can facilitate and enhance these approaches and provide a clear means to rank the growing cohort of stress responsive proteins. We will also highlight the benefit of integrating proteomic analyses with cultivar-specific genetic databases and physiological assessments of cultivar performance in relevant field environments for revealing deeper insights into molecular crop improvement. Figure 1).Analyses by agricultural researchers and humanitarian organizations have continually found that abiotic stresses such as drought, extreme temperatures, and unfavorable soil conditions are responsible for significant decreases in crop yield and can have adverse economic and nutritional consequences for local populations . Given tCellular physiology is underpinned by the composition and function of the proteome, and the power of proteomics techniques lies in their ability to quantitatively analyze large numbers of proteins in parallel, providing rich sets of information with which to explain the molecular mechanisms that underpin cellular function. The plant proteomics literature is characterized by two major threads. The first is the descriptive cataloging of which proteins are expressed in which tissue , localizHowever, the value of the above mentioned approaches as gene discovery and ranking strategies for future crop improvement is less clear. Many limitations of the approach and results derived from these experiments must be taken into account before committing to pursue any one protein in a molecular breeding program. First is the common observation that a small subset of the stress responsive proteins are repeatedly identified across a number of different stress experiments, the so called \u201cd\u00e9j\u00e0 vu\u201d phenomenon . While tWe propose that controlled environment experiments that attempt to mimic field conditions are best framed as a starting point to identify proteins of interest. The results of these studies then need to be added together and explored more widely by subsequent profiling experiments conducted under field conditions in the target environment, to determine which, if any, of the favorable molecular mechanisms uncovered in the laboratory hold true in the target environment and what are the relationships between them.Medicago is highly suited to high sample throughput of a wider group or groups of proteins in a single analytical run, thus enabling a larger number of data points on different proteins to be gathered per unit of machine time. This is particularly useful for the assessment of protein changes in field-grown crop plants where the variation in the samples may be larger than those collected in the controlled laboratory environment. This also allows the relationships between changes in the abundance of different proteins to be explored in G \u00d7 T datasets. Usually within the lab, power analysis will reveal that three to five samples are sufficient for the experiment to be informative and this number is amenable to quantitative shotgun proteomic approaches. However, field analysis may require >20 samples for the experiment to be informative and this would led to prohibitively expensive and time-consuming analysis by shotgun proteomic approaches. In these circumstances SRM MS approaches provide an opportunity to quantitate a select group or groups of proteins from a larger number of samples relativity cheaply and quickly. For instance, research suggest that the proteins involved in reactive oxygen species (ROS) detoxification are strongly linked to abiotic stress tolerance , but a fThe central difference between SRM MS approaches compared to other proteomics methodologies is the necessity for prior knowledge of proteotypic peptides derived from a protein of interest. Therefore, the most pressing constraint upon SRM approaches in crops is the lack of proteotypic peptides which can be used to quantify proteins of interest in relevant species, meaning that the first step in any SRM investigation involves a long period of library generation, where discovery proteomics and database searching are conducted to define high-quality peptides which are suitable for subsequent SRM experiments. This contrasts with the current state of the SRM field in other species, where for example the SRMAtlas project is collating representative mass spectra for signature peptides derived from tens of thousands of proteins expressed in human, yeast, and mouse . This daDespite widespread interest in applying molecular techniques to phenotyping crop plants, difficulties in sequencing the large and complex genomes of many crop species have constrained the power of proteomics applied to crops. DNA sequencing technologies are increasing the speed and decreasing the cost of sequencing, with recent highlights being the generation of reference genomes for barley and tomaProteomics research is typically conducted by scientists trained in the disciplines of biochemistry and molecular biology. Their emphasis upon molecular mechanisms is indispensable for understanding the biological meaning of proteomics data. However, due to the specialist knowledge and logistical difficulties inherent in designing and conducting meaningful field experiments, proteomics researchers will likely depend upon collaborations with agriculturally focused researchers in order to access tissue grown in the relevant field environment with appropriate spatial designs and checks. Therefore, building effective collaborations across discipline boundaries is crucial for proteomics researchers who wish to access field-grown material and contribute to crop breeding programs. It can be argued that a mutual appreciation of classical plant physiology is the key bridge between molecular and field researchers, as its emphasis upon dissecting a specific trait at the single plant level is a logical convergence point for ideas and hypotheses stemming from the two different scales . For insAs claimed by the introductory sections of many papers, as well as preambles to many grant applications, the strategic endpoint of much plant biology research at the molecular scale is to improve the abiotic stress resistance of crop species. However, much of the data produced by plant proteomics research is yet to be actually evaluated for its use in directing breeding programs. Although the initial identification of candidate proteins linked to stress tolerance will still utilize discovery proteomics workflows applied to plants grown under controlled environment conditions in the lab, the technical capabilities of SRM are a better match for validation studies which aim to quantify the abundance of selected target proteins. The ability of the SRM approach to accurately quantify the abundance of a range of target proteins against complex cellular backgrounds in a large number of field-grown samples is a key to its applicability and value. Therefore, we argue that the judicious development of this SRM approach will further our understanding of the causative links between cellular composition and whole plant stress tolerance, and bring the knowledge and skills of proteomics researchers closer to the stated goal of crop improvement for higher yields in harsh environments.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Neurons in the mammalian cortex have conduction latencies that can scale up an order of magnitude or more with myelination and axon radius. These latencies can be categorized into two groups: distance dependent latencies associated directly with axonic/dendritic length and distance independent latencies due to intrinsic delays on synapses themselves. This paper focuses on the distance dependence of conduction latency, attempting to elucidate its effects on the temporal ordering of the network activity patterns. We use various statistical measures to characterize the temporal patterning behavior of the networks: mean phase coherence, a pairwise measure of phase locking between neuron spike trains averaged over the network and synchronous bursting, which quantifies the coincidence of spikes as it deviates from a Poisson process.We find that distance dependent delays and distance independent delays can lead to significantly different spatio-temporal patterning of network wide activity. The introduction of distance dependent delays into the network can drive temporal dynamics toward a more synchronous state. This synchronization enhancement can decrease as the topology of the network shifts towards a random graph and as the conduction speed moves out of an optimal range."}
+{"text": "Alcohol consumption and affordability in the UK has increased over the last 50 years and is associated with a range of adverse oral health outcomes, the most serious of which, oral cancer, is also increasing in incidence. Despite this, routine alcohol screening and brief intervention (SBI) within general dental practice remains uncommon. This review of the literature examined the background and evidence base for undertaking alcohol SBI in general dental practice, including the rationale behind it and the range of issues related to it. Questions addressed include why alcohol consumption is of relevance to dental professionals; what policy context exists for the role of prevention and health promotion in dentistry; what screening tools are appropriate for use within a general dental practice; what evidence of efficacy is there for alcohol SBI in general dental practice; and what barriers and facilitators must be considered before alcohol SBI can be successfully implemented in this setting. We conclude that alcohol SBI in general dental practice, delivered as part of a multidimensional approach to tackling risky alcohol consumption, offer significant potential to improve the oral and general health of the population."}
+{"text": "The identification and analysis of repetitive patterns are active areas of biological and computational research. Tandem repeats in telomeres play a role in cancer and hypervariable trinucleotide tandem repeats are linked to over a dozen major neurodegenerative genetic disorders. In this paper, we present an algorithm to identify the exact and inexact repeat patterns in DNA sequences based on orthogonal exactly periodic subspace decomposition technique. Using the new measure our algorithm resolves the problems like whether the repeat pattern is of period"}
+{"text": "Over the last 40\u00a0years the assessment and treatment of chronic obstructive pulmonary disease has focused primarily on airflow obstruction with little significance given to the problem of cough. The reasons for this include a view that cough arises simply from the direct irritant and inflammatory effect of cigarette smoke or the presence of excess mucus in the airways. Doubt that cough is of any consequence to patients or responsive to current therapies has reinforced this opinion. At odds with this is the emerging evidence that cough impacts adversely on patients\u2019 health status and forms an important component of recently validated quality of life instruments. This article presents the arguments why the assessment and treatment of cough should have a more prominent place in the clinical management of COPD. Chronic obstructive pulmonary disease (COPD) is now recognised to be a condition of global importance in terms of its impact on the morbidity and risk of premature death of millions of people. The definition of COPD continues to be refined. HoweverThe role of cough in COPD has been well reviewed before. That reWe do not have good data about the frequency with which smokers cough. This reflects one of the major problems in cough research \u2013 the lack of simple metrics which describe coughing. How often should the subject cough and with what intensity before it is classified as significant? This Gordian knot was cut by the Medical Research Council in the 1960\u2019s when they developed an epidemiological definition of chronic bronchitis. They haThis analysis was accepted for much of the last 3 decades but there are now reasons to doubt it. Coughing is associated with airway inflammation in non-smoking asthmatics and there are objective data showing persistence of airway inflammation in ex-smoking COPD patients, likely The epidemiological definition of chronic bronchitis emphasised the association with sputum production and it seemed reasonable to assume that excess mucus accumulation was the main factor driving cough in COPD. This agreed with pathological observation by Reid and Heard of mucous gland hypertrophy in the central airways of patients dying with what we now term COPD. Loss ofThe realisation of the association between self-reported cough and deaths from bronchitis led to the \u2018British hypothesis\u2019 that disease progression in COPD was related to the presence of bronchitic symptoms. This was tested in the long term study of lung function, symptoms and mortality in British postal workers which failed to find any association with disease progression and bronchitis. CoupledWhile there is no doubt that breathlessness is the most dramatic and disabling symptom experienced by COPD patients, more recent data shows that cough is also a matter of concern. Danish data in a large population study found that the presence of chronic mucous hypersecretion increased the risk of having pneumonia and was associated with a faster decline in lung function in men. More reThe impact of cough on patient well being has now been evaluated. In a telephone survey of 2950 COPD patients Kessler et al. found that cough was reported by 55% of subjects with 20% rating it severe to extreme. These sCough is now considered, along with breathlessness and sputum production, to be one of the cardinal symptoms of COPD and whicAt present it is difficult to quantify the degree to which cough responds to treatment for COPD. In part this reflects the lack of focus on cough in clinical studies where most attention has been paid to the relief of breathlessness or the prevention of exacerbations. However the lack of a validated measure of cough intensity and frequency which is known to respond to interventions is also a factor. This situation may improve when newer instruments such as the CAT and EXACT questionnaires are studied in treatment trials.There is general agreement that COPD patients who stop smoking are less likely to report the symptom of cough although this change may be more evident in the earlier stages of the disease, when lung function improvement with treatment is more evident. The proportion of patients with mild-moderate COPD who report a chronic cough declines by about 5% over a 5\u00a0year follow up period but only 10% of similar patients who quit complain of cough 5\u00a0years after stopping. WhetherMany pharmaceutical studies of COPD treatment have recorded cough as a symptom in daily patient diary cards but have seldom analysed the resulting data. One example of this is presented in Table\u00a0In summary it appears that the presence of cough with or without sputum is an early feature of clinical COPD that helps identify people at risk of progressive disease. The cough reflex in COPD is increased to levels seen in current smokers even when the patient no longer smokes. Cough remains a key symptom in the diagnosis of COPD and its presence helps identify those patients at greatest risk of future exacerbations. Smoking cessation early in the natural history of the disease remains the most effective way of reducing cough but other therapies show some promise. Non-specific cough suppressants do not appear effective in COPD and should be avoided. What is really needed is a more systematic study of this important symptom in larger numbers of well characterised patients using validated ways of assessing the occurrence and impact of cough. Once we better understand the nature and variability of this symptom at a patient level then we will be able to develop more effective methods of managing it in clinical practice.COPD: Chronic Obstructive Pulmonary Disease; C2: Concentration of capsaicin inducing 2 coughs; C5: Concentration of capsaicin inducing 5 coughs; CAT: COPD Assessment Test; EXACT-PRO: EXAcerbations of Chronic Obstructive Pulmonary Disease Tool (EXACT): a patient-reported outcome (PRO) measure; TRISTAN: Trial of Inhaled Steroids and long-acting \u03b22 agonists Competing Interests.The author declares that they have no competing interests."}
+{"text": "The present issue focuses on the classic question of early vs. late selection and evaluates the current status of the perceptual load theory that has been offered as an intermediate solution. Several of the papers compare or contrast perceptual load with an alternative explanation- perceptual dilution. The first group of papers report evidence that is inconsistent with the perceptual load theory but is generally consistent with the dilution theory.Roper and Vecera report tMevorach et al. tested pChen and Cave further In their opinion paper Linnell and Caparos argue thMore evidence for a strategic component in the seemingly automatic processing of task-irrelevant information comes from Biggs and Gibson . They shThe review of Scalf et al. presentsThe remaining papers use perceptual load theory as a direct or indirect context for studying other aspects of attentional selection. The role of working memory in regulating the degree to which distractors can be ignored is the focus of de Fockert's review. Forster takes thParks et al. used SSVSwallow and Jiang bring inFolk makes anFinally, Moher et al. tested sWe hope you will find this Research Topic interesting and informative. Enjoy your reading!"}
+{"text": "This reductionist approach has lead to many fundamental insights into how myosin powers muscle contraction. In addition, nature has provided scientists with an array of muscles with different mechanical properties and with a superfamily of myosin molecules. Taking advantage of this diversity in myosin structure and function has lead to additional insights into common properties of force generation. This review will highlight the development of the major assays and methods that have allowed this combined reductionist and comparative approach to be so fruitful. This review highlights the history of biochemical and biophysical studies of myosin and demonstrates how a broad comparative approach combined with reductionist studies have led to a detailed understanding of how myosin interacts with actin and uses chemical energy to generate force and movement in muscle contraction and motility in general.Striated muscle is an elegant system for study at many levels. Much has been learned about the mechanism of contraction from studying the mechanical properties of intact and permeabilized (or skinned) muscle fibers. Structural studies using electron microscopy, X-ray diffraction or spectroscopic probes attached to various contractile proteins were possible because of the highly ordered sarcomeric arrangement of actin and myosin. However, to understand the mechanism of force generation at a molecular level, it is necessary to take the system apart and study the interaction of myosin with actin using The mechanism of muscle contraction has been one of the great biological questions and has occupied the attention of many scientists for much of the last half of the 20th century through to today Huxley, . With it2 cross sectional area along with the EM measurements of 500 thick filaments/\u03bcm2 muscle cross sectional area and about 150 myosin molecules per half sarcomere lead to a forces of about 4 pN per cross bridge. Since only one third to one half of the cross bridges were attached during an isometric tetani, the estimate of force per attached cross bridges about is 8\u201312 pN ? In which ways do the physiological ensembles of myosins affect the kinetics and production of force by the individual force generators?Historically, the muscles of frog and rabbit were primarily used for physiological and mechanical studies. These tissues were readily available and could be easily isolated from the animals. With the proper supply of metabolic energy in an oxygenated and buffered extracellular solution the contractile behavior of the muscle tissue could be reproducibly studied and maintained in a viable state for several hours. Comparative approaches were used to study the differences between fast and slow muscle fibers from within a single animal and between muscles of different animals Barany, . AlthougStudies to biochemically define muscle proteins in solution began with the purification of myosin and actin. Albert Szent-Gyorgyi showed that when an actomyosin solution at high ionic strength was exuded into a solution of lower ionic strength, \u201cthreads\u201d were produced which contracted upon the addition of ATP and regulatory (RLC) light chain in 1993 to drive the expression of wild type and mutant myosins. The ability of these cells to express mammalian myosins was variable. Several myosins such as smooth muscle myosin II residue in switch 1 that forms a hydrogen bond with a glutamic acid residue (E459) in switch 2 to close the nucleotide binding pocket to permit catalysis. Mutation of either of these residues to an alanine greatly inhibits the actin-activated ATPase activity and abolishes the ability of the myosin to move actin filaments to even an alanine (replaced of R = H vs. R = CH3) uncouples actin-activated ATP hydrolysis from motility was discovered by Montell and Rubin showed it to be single-headed without a long tail was but one member of actomyosin complexes has provided a link between the crystal structures and the geometry of myosin bound to actin (Rayment et al., A working stroke in two sub-steps was first seen in single molecule optical tweezer experiments with unconventional myosin I (Veigel et al., in vitro. Despite this kinetic difference both myosin V and myosin II molecules cycle through weakly and strongly attached actin states during their cycle which helps validate the use of myosin V as a model to understand the function of myosin II.Many of the biochemical properties that we have described for skeletal muscle myosin II so far make it difficult to study its interactions with actin at a biochemical and electron microscopic level. In the presence of ATP a myosin II head spends most of its kinetic cycle detached from and interacting only weakly with actin so that the lifetime of its strongly bound states are short. However some of the unconventional myosins serve as cargo transporters and have evolved to spend most of their kinetic cycle bound strongly to actin. An example is myosin V which, in melanocytes serves to aid in the transport of pigment granules, termed melanosomes, to the tips of the dendritic processes (for review, see Hammer and Sellers, These biochemical properties make myosin V much more amenable to study biochemically, particularly at the single molecule level, than most other myosins and it can be argued that it is the best understood myosin in terms of its mechano-chemical properties (Sellers and Veigel, in vitro motility assay, actin filaments are bound to the coverslip surface and fluorescently labeled myosins are in the solution. When a labeled myosin V molecule contacts the actin filament a processive run ensues that can be followed to determine the run length and velocity (Sakamoto et al., The processivity of myosin V can also be observed in a variant of the sliding actin motility assay where one inverts the geometry of the proteins used in myosin II sliding filament assays. In the single molecule myosin V Electron microscopy of myosin V molecules trapped while moving along actin demonstrated that the molecule bound to actin via both heads and that the two heads were separated by 36 nm (Walker et al., Bifunctional attachment of fluorescent probes to a single calmodulin moiety in the lever arm of myosin V allows for detection of the lever arm angular position during processive movement (Forkey et al., Dictyostelium myosin mutant in which the native lever arm was entirely replaced with an artificial one made up of a rigid section of sequence from \u03b1-actinin (Ruff et al., Several mutagenesis experiments support the idea that the light chain binding neck region acted as a lever arm. In these studies the neck regions of smooth muscle myosin II and myosin V were engineered to be longer or shorter than wild type via manipulation of the number of IQ motifs (Warshaw et al., The question of chemo-mechanical coupling is a crucial one in muscle research. Although most researchers would agree that one ATP molecule is hydrolyzed per power stroke and that load affects the kinetics of the cycle, the details of the chemo-mechanical energy conversion are not fully characterized. Here again, a reductionist approach, often using myosins other than muscle myosin have provided critical information. These experiments revealed that the sensitivity to load is very different in different parts of the cross bridge cycle. Studies of the load dependence of the chemo-mechanical cycle have been performed on striated muscle and smooth muscle myosin II (Veigel et al., The question of whether there is a tight coupling between cross bridge performance and ATP utilization was addressed in several studies. Ishijima et al. used optical trapping combined with fluorescence detection of cy3-ATP and came to the conclusion that skeletal muscle myosin II S1 might not have a tight one-to-one coupling between the mechanical and chemical cycles (Ishijima et al., There are many outstanding questions still remaining to fully understand muscle fiber mechanics. How do disease states alter cross-bridge mechanics? What are the rate constants for cross-bridges in isometrically contracting skeletal muscle fibers? How do the rate constants in the isotonically contracting muscle change and by how much as shortening velocity is altered? How do the rate constants in eccentrically contracting muscle change with rate of stretch and to what extent are the various populations of attached cross bridges altered? How are rate constants in contracting muscle altered by the extent of calcium activation or is the only change a rate in which the cross-bridges attach to exposed actin filaments? Finally a broad question, to what extent is skeletal muscles contractility altered by changes in diet, hormones, exercise, age, use, and innervations? It is clear how reductionist methods can address some of these questions. Several labs are using biophysical methods to probe myosins bearing mutations corresponding to ones found in diseased hearts (Palmiter et al., To understand how muscle works the vertebrate skeletal muscle systems has many advantages. However, the inability to make mutations within the myosin molecule in muscle, coupled with the fast and low duty ratio kinetics has made it challenging to understand the system at a molecular level. Using a comparative approach with recombinantly expressed non-muscle myosins, combined with a host of biochemical and biophysical techniques applied to purified myosin has allowed researchers to unravel how muscle works at a molecular level.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "The aim of this poster is to provide a rationale and critical overview of \u2018Autologous Blood Injection Therapy\u2019 a new and possibly superior treatment modality in the management of tendinopathy. The theoretical background will be appraised including its clinical application and perceived clinical effectiveness.literature review and critical appraisal of papersAutologous blood injection therapy has been shown to have a significant positive effect on both pain and joint function, with concomitant therapies not being demonstrated to be required in the management of tendinopathy. However, the majority of studies were representative of patients being treated for refractory epicondylitis with different procedure techniques being employed. No studies compared blood re-injection therapy with dry needling alone, with minimal data available from controlled studies preventing a placebo response from being ruled out.With current evidence on the efficacy of autologous blood injection therapy in the management of tendinopathy being insufficient in quantity and quality, the current National Institute for Health and Clinical Excellence guidelines state this procedure is to only be used with special arrangement. Future research should focus on randomised control trials that clearly describe previous or adjunctive therapeutic interventions with a minimum follow up of 1 year."}
+{"text": "The incidence of malignant melanoma (MM) continues to rise in the UK and Europe. Despite being a common form of skin cancer it is responsible for the majority of skin cancer related deaths. Around 3-15% of all cutaneous MM arise on the foot. However, lesions arising on the foot hold a poorer prognosis than melanoma elsewhere due to frequent misdiagnosis and late presentation. Initiatives to raise practitioner awareness to the problem would hopefully facilitate earlier referral and diagnosis.Following discussions with the Faculty of Podiatric Medicine and General Practice, a panel including Dermatologists (with an interest in skin cancer) and a Podiatrist was assembled and undertook a project to produce a guide for Chiropodists/Podiatrists on the early recognition of malignant melanoma arising on the foot.Following a systematic review of published evidence and existing guidelines it was concluded there was insufficient research to fully inform such a guide. Therefore using the available literature and case reports a paper was drafted using expert opinion and clinical experience. Evaluation of reported cases of misdiagnosis and clinical features lead to the development of a new acronym specific to foot malignancy with clinical information and suggested actions. In addition, specific advice has been drafted on nail melanoma highlighting common clinical features and differential diagnosis.The guide is currently being field tested amongst practitioners but should ultimately be available to all Podiatrists and Chiropodists to help raise awareness of this aggressive and often fatal disease."}
+{"text": "An algorithm to automatically identify and extract matched molecular pairs from a collection of compounds has been developed, allowing the learning associated with each molecular transformation to be readily exploited in drug discovery projects. Here, we present the application to an example data set of 11 histone deacetylase inhibitors. The matched pairs were identified, and corresponding differences in activity and lipophilicity were recorded. These property differences were associated with the chemical transformations encoded in the SMIRKS reaction notation. The transformations identified a subseries with the optimal balance of these two parameters. Enumeration of a virtual library of compounds using the extracted transformations identified two additional compounds initially excluded from the analysis with an accurate estimation of their biological activity. We describe how the WizePairZ system can be used to archive and apply medicinal chemistry knowledge from one drug discovery project to another as well as identify common bioisosteres."}
+{"text": "Whether the balance between integration and segregation of information in the brain is damaged in Mild Cognitive Impairment (MCI) subjects is still a matter of debate. Here we characterize the functional network architecture of MCI subjects by means of complex networks analysis. Magnetoencephalograms (MEG) time series obtained during a memory task were evaluated by synchronization likelihood (SL), to quantify the statistical dependence between MEG signals and to obtain the functional networks. Graphs from MCI subjects show an enhancement of the strength of connections, together with an increase in the outreach parameter, suggesting that memory processing in MCI subjects is associated with higher energy expenditure and a tendency toward random structure, which breaks the balance between integration and segregation. All features are reproduced by an evolutionary network model that simulates the degenerative process of a healthy functional network to that associated with MCI. Due to the high rate of conversion from MCI to Alzheimer Disease (AD), these results show that the analysis of functional networks could be an appropriate tool for the early detection of both MCI and AD. Graph theory provides valuable tools to describe the topological organization supporting cognitive processes On the other side, Mild Cognitive Impairment (MCI) is an intermediate state between healthy aging and dementia To our best knowledge, no previous characterizations of the topological properties of functional brain networks in MCI subjects with MEG were attempted so far. We here apply methods from complex networks theory to compute macroscopic and mesoscopic parameters of the functional networks in a group of nineteen MCI patients and a group of control participants of the same size. Brain activity was measured by means of MEG during a Sternberg's letter-probe memory task Materials and Methods in MEG scans were obtained from nineteen MCI patients and nineteen healthy volunteers during a Sternberg's letter-probe task (see The SL between the 148 sensors yields a (symmetric and weighted) 148As for the network parameters, the average degree of a node The node outreach In order to evaluate the deviation of the network parameters from their corresponding randomized versions, we have generated For each individual, we construct a probability matrix from the broadband signal The outreach parameter To compare the mentioned network parameters between the two groups, each parameter value was first averaged across epochs for each participant and channel pair. Then, nonparametric permutation testing From a holistic point of view, it is well known that the processing abilities of the brain rely on the segregation and integration of information Next, we have gone down to the lowest scale . We have used the classification of nodes introduced by Guimer\u00e0 et al. All previous results indicate that mild cognitive impairment is related to a random increase in synchronization between brain areas. In order to model this phenomenon, it is necessary to understand how weights are distributed within the network, since the disease modifies the correlations between nodes. Our model can be discussed as follows: a) we randomly select a link in the correlation network Finally, The effect of MCI on brain networks dynamics is related to a group of phenomena that are hallmarks of an atypical network functioning. The relevant difference between healthy and MCI subjects is the increase in synchronized activity between brain areas. The enhancement in overall synchrony is reflected as an increase of average connectivity Another indication that this synchronization profile might be related to a compensatory effort is the fact that the main differences between the control and MCI subjects are observed in the alpha band in order to see if this tendency of communication based on long distance connections could be ultimately assessed as an early hallmark of cognitive impairment.Many spatially distant, but functionally integrated functional networks have been described with fMRI and fcMRI analyses Finally, it is interesting to highlight the differences between the findings on MCI and Alzheimer disease (AD), since patients suffering from MCI are prone to develop AD. In both conditions, the distortion of the functional network is related to an evolution towards random structures, as indicated by a clustering coefficient and shortest path length that is closer to the random configuration. Both results are in accordance with the influence of aging in the increase of the network entropy, a concept recently formulated by Drachman File S1Supporting Information.(PDF)Click here for additional data file."}
+{"text": "The needs for other modes of care apart from acute hospital care have long been realized but minimal integrated efforts have developed so far. Payment mechanism is a strong financing strategy to create favorable changes in the health systems.This session is to illustrate the rationale and progress of the developments of sub-acute and non-acute Casemix classification as a financing mechanism in Thailand.Review of literature of the last five years is the main data collection.The rehabilitative medicine has been an established discipline for over four decades in Thailand while psychiatry even longer. Complaints from health care providers of being underfunded activities have been around since the third revision of Thai Diagnosis Related Group since 2001. The fifth revision of TDRG set the goal of accomplishing other Casemix classifications apart from DRG for acute inpatient care, two Casemix systems for inpatient psychiatric and rehabilitative care were submitted to the National Health Security Office in 2011. The NHSO anticipated the difficulties of implementing the two new Casemix systems as initiative payment methods. Two separate streams of putting the Casemix products to the health systems were designed. Further follow-ups of these developments are needed to document knowledge generation related to health system outcomes via financing initiatives.Health finance and Casemix research need long-term commitment of a development team to refine results to find ways of implementing into health systems as well as to evaluate whether favorable changes happen."}
+{"text": "Cardiac involvement infrequently occurs in hypopituitarism, and lethal cardiac arrhythmias are rarely reported. We present a middle age female who died as a consequence of refractory ventricular arrhythmia whose medical history and previous laboratory investigation were consistent with hypopituitarism. We conclude that hypopituitarism may lead to electrocardiographic changes and malignant ventricular arrhythmia and should be included in laboratory investigation and differential diagnosis of patients presenting with long QT syndrome Hypopituitarism is considered when a defect in some of the anterior pituitary axes results in failure of one or more target gland. The insult to the pituitary and hypothalamic area may be acute or chronic hence the clinical presentation may vary accordingly and in the majority of cases, it intervenes with a normal quality of life and may decrease life expectancy secondary to atherosclerotic complications or cerebrovascular accidents . Among vA 58 year old female lost consciousness in her room while preparing for a wedding ceremony and was instantly brought to the emergency room in 28.10.2010.Her cardiac monitoring on arrival showed polymorphic ventricular tachycardia degenerating to ventricular fibrillation, which was unresponsive to prolonged CPR efforts, and she died one hour after arrival to ER(emergency room. Examinations including electrolytes and blood sugar was reported to be normal, retrospective questioning of close family members and reviewing the previous medical data revealed that during last 36 months she had frequent visit to her family physician complaining of weakness and vertigo, her work up on 12 March 2007, while taking Levothyroxin100 ug daily and occasional 5 mg Prednisolone tab revealedHypopituitarism was first described in 1914 by the German physician Dr Morris Simmonds (since then an enormous growth of knowledge about the pathophysiologic and management of this condition have been developed but the vague clinical presentation is still an obstacle to timely diagnosis and proper management which sometimes leads to extreme and unusual morbid presentations as seen in our case.Sudden unexpected death and CardWe described a case presented with refractory ventricular tachycardia unresponsive to medical therapy with subsequent laboratory finding in favor of neglected panhypopituitarism. It is concluded that cardiac arrhythmia as a rare presentation of neuroendocrine disorders should be considered in differential diagnosis of long QT syndrome and ventricular arrhythmia."}
+{"text": "Patients with systemic lupus erythematosus (SLE) have up to a 50-fold increased risk of developing atherosclerotic cardiovascular disease that cannot be explained by the Framingham risk equation. While both SLE-specific and nonspecific mechanisms have been proposed to play a prominent role in the induction of premature vascular damage in this disease, the exact etiology remains unclear. We have proposed that an imbalance between vascular damage and repair probably induced by IFN\u03b1 and other type I interferons could play a prominent role in the induction of accelerated atherosclerosis in SLE. Our group and others have recently elucidated the potential role that these cytokines play in the development and progression of premature atherosclerotic disease in SLE and, potentially, in other autoimmune diseases. More recently, a novel role for aberrant neutrophils in the development of autoimmune responses and vascular damage in SLE and other diseases has emerged; in particular, the role that neutrophil extracellular traps may play in the development of this disease and its vascular complications such as endothelial dysfunction and atherothrombosis. The recent description of a distinct subset of proinflammatory neutrophils isolated from lupus patients that induces vascular damage and synthesizes type I interferons has shed new light into a potentially important cell subset implicated in endothelial damage. Finally, novel discoveries pertaining to the interactions of lipoproteins and the immune system may prove quite informative in understanding how premature atherosclerotic plaque develops in lupus."}
+{"text": "In the last twenty years, several global targets for protection of marine biodiversity have been adopted but have failed. The Convention on Biological Diversity (CBD) aims at preserving 10% of all the marine biomes by 2020. For achieving this goal, ecologically or biologically significant areas (EBSA) have to be identified in all biogeographic regions. However, the methodologies for identifying the best suitable areas are still to be agreed. Here, we propose a framework for applying the CBD criteria to locate potential ecologically or biologically significant seamount areas based on the best information currently available. The framework combines the likelihood of a seamount constituting an EBSA and its level of human impact and can be used at global, regional and local scales. This methodology allows the classification of individual seamounts into four major portfolio conservation categories which can help optimize management efforts toward the protection of the most suitable areas. The framework was tested against 1000 dummy seamounts and satisfactorily assigned seamounts to proper EBSA and threats categories. Additionally, the framework was applied to eight case study seamounts that were included in three out of four portfolio categories: areas highly likely to be identified as EBSA with high degree of threat; areas highly likely to be EBSA with low degree of threat; and areas with a low likelihood of being EBSA with high degree of threat. This framework will allow managers to identify seamount EBSAs and to prioritize their policies in terms of protecting undisturbed areas, disturbed areas for recovery of habitats and species, or both based on their management objectives. It also identifies seamount EBSAs and threats considering different ecological groups in both pelagic and benthic communities. Therefore, this framework may represent an important tool to mitigate seamount biodiversity loss and to achieve the 2020 CBD goals. Deep-sea and open ocean waters are the largest and yet least understood environments on Earth One of the major challenges in designing and implementing governance and management strategies in these environments is the fact that deep seas and open oceans frequently fall in areas beyond national jurisdiction (ABNJ). Therefore, international commitments are necessary to undertake effective conservation actions. In the last twenty years, several global meetings on biological conservation and sustainable development have proposed to set aside for protection 10\u201330% of all the marine biomes by the year 2012. The failure in meeting these objectives has been internationally recognized with just 1.17% of the world\u2019s oceans currently included in marine protected areas (MPAs) mostly located in coastal waters www.gobi.org). However, the patchy nature of biological and ecological data regarding deep and open ocean ecosystems hinders a systematic application of these criteria and implies a wide reliance on global models and remote sensed data The methodologies suggested by the CBD should not be restricted to ABNJ and could also be adopted and implemented within areas of national jurisdiction. Pilot studies have identified several potential EBSAs in different marine regions that capture the most relevant pelagic, benthopelagic and benthic components of seamount ecosystems. The presence of such indicators can be assessed by both using real data coming from sampled features or global models which could complement data deficient sites.http://www.gobi.org/candidate-ebsas). The presence of endemic organisms to assess the level of faunal uniqueness has to be considered with extremely caution, since seamount endemicity has been recently questioned The presence of hydrothermal vents on seamounts was used as a proxy for uniqueness. In fact, vents host a number of special communities and organisms that are found nowhere else in the marine environment e.g. Areas containing breeding or spawning grounds, juvenile habitat and important habitats for migratory species are considered good examples of this criterion The IUCN red list provides a comprehensive list of threatened, endangered or declining species sensuThis criterion values the degree of risk that will be incurred from human activities or natural events The dynamics of marine production in the open and deep oceans are poorly understood. To date, the depth of submarine features represents the best indicator of seamount productivity. In fact, shallow seamounts may intercept the diel vertical migration of zooplankton and micronekton, trapping these vertically migrating organisms and/or aggregate small zooplanktonic animals horizontally advected. This could result in an increased prey availability, which may benefit resident and visiting animals enhancing secondary production and aggregating behaviors Reliable estimates of biodiversity for seamounts are difficult to obtain with the data currently available in the scientific literature. However, the presence of structural species may increase local biological diversity and be used as a proxy for this criterion e.g. These are areas with a comparatively higher degree of naturalness as a result of the lack or low level of human disturbance Ten indicators were used to identify seamount EBSAs : four beIndividual indicators were weighted based on the relevance they have in the assessment of the EBSA criteria. Factors used to verify more than one criterion had a higher weight in the analysis . For exaThe major human activity currently impacting seamounts is fishing Mineral exploitation is likely to pose a serious threat to seamount ecosystems in the near future The effects of fishing and mining on individual seamounts were quantified using an expert knowledge system. This system was adapted from two recent reviews where experts were asked to rate the impact of several fishing gears on different taxonomic groups and habitats using a scale ranging from very low to very high The \u201cthreats score\u201d of individual seamounts was determined by the anthropogenic activities occurring on that features. In fact, benthic, benthopelagic and pelagic seamount components will experience different levels of disturbance depending on the set of human related activities present. Among the set of fishing and mining practices present on a specific feature, it is possible to identify a subset of activities likely to pose the highest impacts to the different components considered . The final threat score was thus calculated as the average of the maximum impacts posed toTo account for data uncertainty, data quality issues and the varying degree of knowledge regarding different seamounts and geographical area, a data uncertainty index similar to the one elaborated in Wallace et al. Two measures were incorporated in the index: a data quality index (DQ) and a data deficiency index (DD). Data quality reflects origin and nature of the collected data and was divided into three categories: low (scored as 1), medium (scored as 0.5), and high (scored as 0) data quality. Considering the wide nature of seamount studies, the definition of these categories was not very strict but was based on general guidelines. The high data quality category was designed to include information mainly derived from rigorous scientific surveys. Even though data included in this category should be predominantly quantitative, qualitative data may also be considered as high quality data if in great detail. Medium quality data are incomplete quantitative information or qualitative descriptions of EBSA indicators and human impacts present on individual seamounts. These data should always be specific to a particular feature and validated in the literature. Low quality data include undisclosed data regarding wide geographic areas which do not specifically address seamounts, information inferred from models or from different seamount properties or data not properly referenced. The detailed scoring standards used to assign the data quality scores to all EBSA and threat indicators are described in the supplementary information and S3. The data uncertainty index is visualized as error bars in plots of the seamount EBSA likelihood scores versus human threats scores. Minimum and maximum values of each final seamount EBSA likelihood and human threats score are calculated by subtracting and adding the data uncertainty index. The error bars can therefore potentially range up to two units above and below the original score. In this manner, a seamount lacking data and/or with low data quality is shown as possibly belonging to different EBSA likelihood and threat categories, reflecting the uncertainty of the outcome.Protecting all seamounts is neither particularly rewarding nor practically feasible considering the high variation that exists in terms of their ecology, geophysics and potential human impacts and the large number of seamounts present in the world\u2019s oceans. Therefore, approaches that systematically highlight conservation priority areas for seamount ecosystems can constitute a valuable tool for marine management purposes. We hereby propose an approach that combines the likelihood of a seamount constituting an EBSA and the level of human impact posed to a submarine feature to locate priority areas for seamount conservation at global, regional and local scales. This methodology allows the classification of individual seamounts into four main conservation categories, which can help in optimizing management efforts toward the protection of the most suitable areas. The portfolio categories are: Low EBSA likelihood-Low threats; Low EBSA likelihood-High threats; High EBSA likelihood-Low threats; High EBSA likelihood-High threats. EBSA likelihood and threats for individual seamounts can be easily summarized and graphically compared.Additionally this approach is designed in a way that helps in visualizing what parts of the ecosystems are contributing to the EBSA score or being threatened by human induced activities. This is of paramount importance in identifying seamounts that may be ecologically or biologically significant for both the benthic and pelagic components of the ecosystem and in complementing preexisting conservation strategies with the protection of underrepresented seamount components.In order to test the framework developed here, we have randomly assigned the presence or absence of the ten indicators developed in the EBSA scoring procedure and of the nine types of threats considered in the threats scoring procedure to 1000 dummy seamounts . In this way it was possible to assess the ability of our framework to assign real world seamounts to the different portfolio categories considered. In addition, a set of eight seamounts from different geographical areas were selected as case studies for applying the present framework, six located in the Atlantic Ocean and two located in the Gulf of Alaska (Cobb and Bowie seamounts). Data for the evaluation process were obtained by reviewing the existing literature The dummy seamounts were assigned to all 4 portfolio categories with only 5.1% seamounts considered as highly likely to be identified as EBSA with low degree of threat and 3.6% seamounts with low likelihood of being identified as EBSA with low degree of threat. Most of the dummy seamounts fall in the category low likelihood of being identified as EBSA with high degree of threat (36.2%) or high likelihood of being identified as EBSA with high degree of threat (55.1%). These results indicate that the framework is adequate to assign seamounts to different portfolio categories. In For the 8 case study seamounts considered, seamount EBSA likelihood scores ranged fOverall, the eight seamounts evaluated were allocated to three different portfolio categories of EBSA likelihood and threat exposure : high liOf the case studies considered, Sedlo and Gorringe are those with the highest EBSA likelihood scores and, therefore, they may represent the most suitable areas where to adopt conservation measures. These two seamounts are experiencing very different levels of human pressure, with Sedlo presenting lower chances of detrimental effects caused by human activities than Gorringe. However, given the large uncertainty associated with the Gorringe threat score, a further evaluation of the activities should be undertaken. Sedlo has already been proposed as a suitable site for a marine protected area In order to achieve the conservation goals established under the Convention on Biological Diversity, scientists from different fields were asked to define and apply criteria which can highlight marine areas of particular interest The framework proposed here was designed to set priorities in seamount conservation and to help developing spatially explicit seamount management policies. In order to avoid the location of protected areas in places that contribute little to preserve ecosystem structures and processes, the biological or ecological value of specific areas should always be considered as a primary criterion for the identification of conservation priorities Three aspects were central in the practical definition of the proposed methodology. Our first concern was to develop a system which could provide solid measures of the relative value and threat status of individual seamounts. The choice of the selected seamount EBSA indicators and the definition of the most relevant human activities to seamount ecosystems were based on an extensive review of the existing literature and through intense consultations with seamount experts. This approach constitutes, therefore, a complete synthesis of what is presently known regarding seamount ecosystems. Our second concern was to design a system compatible with the data currently available. The major constraint faced by this kind of analysis is generally the scarcity of information readily available. In fact, while a very small portion of submarine relief has a fairly detailed ecological and biological description and an accurate report of ongoing anthropogenic activities, the large majority of seamounts have either never been explored or even charted through direct scientific measurements or only partially described The outcomes of the dummy seamounts may serve as an indication of the robustness of our methodology. Since our analysis was based only on presence/absence data, conservative outcomes regarding the threat status of individual seamounts should be expected. This is reflected in the outcomes of the analyses, where the highest proportion of seamounts fell within the high threat score category. Moreover, the consistent allocation of the dummy seamounts into high and low EBSA likelihood categories, as shown in Another important characteristic of this framework is that allows the identification of seamount EBSAs and threats considering different ecological groups in the pelagic and benthic realms . In bold the most conspicuous cold-water taxa.(DOCX)Click here for additional data file.Table S2Scoring standards used to assess the data quality of the EBSSA indicators.(DOCX)Click here for additional data file.Table S3Scoring standards used to assess the information quality regarding the human activities occurring at a seamount.(DOCX)Click here for additional data file.Information S1Guidelines for scoring human-induced threats to individual seamounts.(DOCX)Click here for additional data file.Information S2Description of the information used to evaluate the seamounts\u2019 EBSA likelihood and threats.(DOCX)Click here for additional data file."}
+{"text": "We describe a novel method for analyzing neural data that uses a combination of Markov transition matrices and Kullback-Leibler divergence to characterize spike history and spike patterns. For this method, the interspike intervals (ISIs) are divided into bins by quantiles, and a Markov transition matrix is computed for the ISI sequence. This Markov transition matrix is then compared to another Markov transition matrix constructed under the assumption of independent spiking. We then compute the Kullback-Leibler divergence between the distributions of ISI transition probabilities for each bin. The purpose of this method is to quantify the effects of spike history on neuron output and to help better characterize the flaws associated with assuming independent spiking.We test this method on both simulated data and experimental data from primary visual cortex of cats, publicly available through CRCNS -3. InterThese results emphasize that the main shortcoming of simple spiking models, like the Poisson model, is a failure to account for spike history and spike patterns related to bursting and long periods of silence. This also suggests that neural systems can gain an advantage in computational efficiency by accounting for spike timing aspects of bursting and extended periods of silence within the neural code."}
+{"text": "Traumatic brain injury (TBI) represents one of the greatest unmet needs in medicine and public health ? Could this be perhaps that we still have insufficient knowledge of how degradation products from brain tissue are removed into the venous blood? Is this directly into the venous system, or indirectly by flow of the extracellular fluid draining via the cerebrospinal fluid into the sagittal sinus? Basic understanding of such mechanisms would be of great relevance toward optimal biomarker sampling. Whilst many studies on the prognostic value of biomarkers show clear prognostic effects, it should be realized that numbers in these studies in general are small and that the added value of biomarkers as prognostic indicators over and above other predictors has not yet been adequately shown in multivariable analyses. The concept of being able to differentiate between neuronal and glial injury based upon biomarkers is exciting. This topical issue will also address relations between laboratory markers and other biomarkers such as imaging modalities. By definition characterization and classification of brain injury is multidimensional. Better characterization with the aid of biomarkers can be expected to facilitate Precision Medicine, a concept recently advocated by the US National Academy of Science . Precisi"}
+{"text": "The costs of developing a probiotic or prebiotic ingredient have always been substantial. Ingredient characterization, evaluation of technological and physiological properties, and demonstrations of safety and clinical efficacy require expensive research. The demanding regulatory requirements imposed by EFSA raise the bar even higher so that the costs of acquiring the necessary clinical evidence to support labeling of these food ingredients is approaching that of pharmaceuticals. In order to justify investment in such expensive clinical development, companies require certainty that they can gain a return on investment. Patenting can provide some protection but is not always possible to patent ingredients, and the period of protection is limited. All ingredients eventually face the prospect of commoditization once patents expire. Branding strategies offer one means of maintaining adequate product differentiation to protect market share and margins over the long term."}
+{"text": "Developing a sense of hope is a foundation for recovery. How can we inspire hope and motivation in those who are suffering from an eating disorder and the struggles that ensue?The Eating Disorder Mentor Program is a collaborative project between The Eating Disorder service at Royal Melbourne Hospital (ED-RMH) and Eating Disorders Victoria (EDV).It's an opportunity for people with a lived experience of an eating disorder to tell their recovery story and share their insight with current patients. Research has shown the many benefits of peer support which include increased feelings of hope for patients and the learning of practical strategies to assist their recovery. Mentors gain skill and satisfaction from seeing their lived experience used as a valuable source of expertise in promoting recovery.This presentation will:\u2022 Give an overview of the program including the aims, processes and results\u2022 Explore the value achieved by collaboration between a community based mental health provider and a specialist tertiary health service\u2022 Highlight the benefit of combining the experience of both health professionals and consumersCare in Inpatient and Community Settings stream of the 2013 ANZAED Conference.This abstract was presented in the"}
+{"text": "Microarray data acquired during time-course experiments allow the temporal variations in gene expression to be monitored. An original postprandial fasting experiment was conducted in the mouse and the expression of 200 genes was monitored with a dedicated macroarray at 11 time points between 0 and 72 hours of fasting. The aim of this study was to provide a relevant clustering of gene expression temporal profiles. This was achieved by focusing on the shapes of the curves rather than on the absolute level of expression. Actually, we combined spline smoothing and first derivative computation with hierarchical and partitioning clustering. A heuristic approach was proposed to tune the spline smoothing parameter using both statistical and biological considerations. Clusters are illustrated a posteriori through principal component analysis and heatmap visualization. Most results were found to be in agreement with the literature on the effects of fasting on the mouse liver and provide promising directions for future biological investigations."}
+{"text": "Neuronal morphology plays an important role in the processing of spatiotemporal synaptic input patterns.We formulate a new cable theoretic model to study the output in a dendritic cable with many subtrees, both analytically and computationally. The model is an extension of the continuum spine model derived by Baer and Rinzel and likeA multicompartment model with equally spaced discrete branches implemented in NEURON is used For a passive membrane and uniformly distributed branches, this formulation provides analytic estimates of electrical parameters, such as the input resistance. Transforming the equations to the frequency domain, we examine the steady state response properties for periodic forcing, where the impact of structural properties on transfer properties and the phase shift at different locations are calculated directly. Based on calculations of the voltage response along the primary neurite, the continuum formulation performs much better than a simple cable as an approximation of the morphologically realistic model. Simulations of the continuum model are in good agreement with the realistic model for frequencies up to 1000 Hz.In insects neurons the spike initiation zone (SIZ) is usually located far away from the recording site. We use this model to investigate the impact of the location of the SIZ and morphology on spike initiation and spike shape at the recording site as well as on activation and inactivation curves of ion channels obtained by voltage clamp recordings.Also we investigate how structural properties impact the results found in a point model of MN5, where variations of ion channel densities in physiological ranges lead to different observed firing properties ."}
+{"text": "Hemolytic activity was within the acceptable range revealing low toxicity risk of nanoemulsion. The ex vivo release studies of the formulated nanoemulsions were carried out using sheep nasal mucosa in comparison with drug suspension in simulated nasal fluid. The results revealed that release rate was biphasic and faster from drug suspension as compared to nanoemulsions. It can be concluded that nanoemulsions were prepared successfully having low particle size and can be used to deliver curcumin and artemether intranasally for management of cerebral malaria. The efficacy of the developed formulations either alone or in combination was evaluated further for antimalarial efficacy in Plasmodium berghei ANKA murine model of cerebral malaria in comparison with pure drug suspension administered intranasally and intravenously and showed promising results.The objective of the present investigation was to explore the potential of nanoemulsion (NE) containing artemether-curcumin combination to accomplish the delivery of drugs to the brain via olfactory delivery system for management of cerebral malaria. The components for curcumin NE (C-NE) and artemether NE (A-NE) formulations were selected based on saturation solubility studies and were prepared by aqueous titration technique . The muc"}
+{"text": "Iranian Red Crescent Society is a charitable and non-profit organization playing an active role in public-benefiting and humanistic affairs and services offered for rescue operations. The prospect of this society has been mentions as Red Crescent Society should be accountable for all kind of events in all parts of Iran with the highest possible efficiency and with minimal time required for services. In the bSWOT as a guide can analyze factors affecting the competition between the organizations and companies while providing a prospect for the future. Therefor"}
+{"text": "Aspergillus fumigatus, an interesting and relevant morphotype beyond the conidial and hyphal stages has gained increasing attention: the multicellular biofilm. Such hyphal communities were first described for A. fumigatus in 2007 as important component of Aspergillus biofilms (Ramage et al., Aspergillus lifestyle but also provide perspective for improvement and new avenues in antifungal therapy or biotechnological applications.In the light of the clinical as well as industrial relevance of"}
+{"text": "Given the high prevalence and serious consequences of both CVD and mental disorders, associations between the two types of diseases would have a major impact on public health. If there is a causal link between CVD and mental disorders, the screening and early treatment of one of the two types of diseases is likely to have a preventive effect on the other pathology. The mechanisms underlying this co-morbidity is poorly understood, partially due to major limitations of existing studies such as the use of clinical samples, the lack of an appropriate comparison group, the use of psychiatric rating scales for a single psychiatric syndrome rather than structured diagnostic interviews, reliability on self-reported somatic information rather than objective measurements and a lack of simultaneous assessment of cardiovascular risk factors which does not allow the study of potential pathways from a specific mental disorder to cardiovascular disease.The CoLaus/PsychoLaus is a prospective follow up of participants in the CoLaus cohort to assess whether mental diseases increase vulnerability to cardiovascular disease/risk factors or vice versa and to identify common pathogenic processes involved. It also gives better knowledge about long term course of mental disorders and cardiovascular diseases and service utilisation patterns all of which can result in more effective strategies in prevention and treatment. Current evidence from CoLaus/PsyCoLaus suggests a significant role of a typical depression symptom, which are strongly associated to physical and behavioural cardiovascular risk factors."}
+{"text": "Wood has played an indispensable part in the rise of human civilization, evolution of modern plants and has cornerstone importance for the sustained long term health and stability of managed and unmanaged ecosystems. Despite its importance, the molecular mechanisms involved in wood formation are still poorly understood.Wood formation initiates in a lateral meristem known as vascular cambium which consists of meristem cells organized in single-cell radial file that form continuous cylinder around the stem. Cambium initials divide to produce xylem, phloem, and ray mother cells that in turn undergo several rounds of divisions followed by differentiation into respective cell types. Because of their importance to regulation the quantity and quality of wood production these processes are of substantial theoretical and applied interest but are poorly understood and thus very difficult to manipulate. The progression from meristem to fully differentiated cells is a complex process requiring highly organized transition from different developmental states, most prominently, loosing the pluripotency of meristem cell and committing to a specific cell/tissue fate . Because of the importance of this transition plants establish developmental boundaries that insulate cells in different stages of this progression. We have recently shown that plant-specific transcription factors of the LATERAL ORGAN BOUNDARIES DOMAIN (LBD) family play key role in the establishment and function of these boundaries .PtaLBD1 with uncharacterized previously function in poplar and Arabidopsis, is primarily involved in differentiation of secondary phloem and ray cells. Transgenic gain and loss-of-function experiments demonstrated that PtLBD1 is a positive regulator of secondary phloem growth and development. Expression and localization experiments showed predominant expression in the phloem and localization of the transcript on the boundary between the differentiating phloem and the cambium zone. Genes encoding regulators of meristem identity genes like ARBORKNOX1 (ARK1) and ARBORKNOX2 (ARK2) were downregulated while key regulators of phloem initiation like ALTERED PHLOEM DEVELOPMENT (APL) gene was upregulated in the activation tagged mutant line. The phenotype, localization and misexpression of ARK1, ARK2 and APL genes indicate that LBD1 is a critical component in the establishment and function of the developmental boundary between the vascular cambium and the differentiating phloem. It shows that the boundary genes like LBD have dual function to repress meristem identity but promote proliferation and differentiation. We have also found that LBD1 is downregulated by auxin and is co-expressed with strong repressors of auxin response. Because auxin concentrations peak in the cambium and LBD1 is downregulated by auxin we hypothesize that part of the molecular mechanism that establishes the boundary is through auxin-mediated repression of LBD1 in the cambium zone.The discovery leading to the realization of the importance of LBD proteins in woody development was the identification and subsequent characterization of an activation tagged mutant that shows enhanced woody growth. We have found that the activation of a LBD encoding gene, Populus identified 57 members; microarray results display that four LBD genes show predominant expression in stems undergoing wood production with two genes expressed in the phloem (PtaLBD1 and PtaLBD4) and two in the xylem . This suggests that a similar regulatory mechanism is in operation during xylem growth and differentiation.Vascular cambium of most extant plants is bifacial \u2013 producing xylem to the inside and phloem to the outside of the stem trunk. We then asked if the boundary on the xylem side of vascular cambium is organized and regulated in a similar manner. A broad preliminary survey of the LBD family in Vitis vinifera. There were 12 putative LBD1 orthologs. Vitis is vine and has a unique wood anatomy. Most notably, the rays are highly multiseriate and secondary phloem is well-developed with multiple growth rings. The intercalation of less-lignified tissues in the xylem of vines and lianas and proportionally more parenchyma tissues is an adaptive feature allowing more stem flexibility. The multiseriate rays and increased secondary phloem production in Vitis resembles the poplar transgenics with increased PtaLBD1 expression. Thus the putative increased LBD1 gene dosage in Vitis, well-corresponds to its wood anatomical features and suggests that LBD genes like LBD1 may have played important role in evolution of wood anatomy as an adaptive mechanism reflecting species biology and life habit.Our studies also shed light on possible mechanisms in the evolution of woodiness and wood anatomy. The LBD proteins are present in most genomes of the sequenced species from the plant kingdom with exceptions of algae. This suggests that the LBD gene family has evolved after the colonization of land plants. Comparative sequence analysis of putative LBD1 orthologs in several sequenced plant genomes, indicates a large and highly significant expansion of the LBD1 gene in Our findings have broad importance with respect to regulation and evolution of wood formation. They provide tools for manipulation of woody growth and development and provide clues for the mechanisms involved in evolution of wood anatomy with relation to plants\u2019 biology and ecology."}
+{"text": "Excess gestational weight gain (GWG) in pregnancy is a major clinical challenge affecting 55-75% of Canadian women who enter pregnancy overweight and about 40% women of normal weight. The adverse sequelae of excess GWG for both mother and child are well documented and include a number of adverse health outcomes , which impose substantive burden of our health system. The larger research program aims to conduct a randomized trial with a diet and exercise intervention for optimizing GWG. The project presented here is a preliminary phase in order to determine feasibility and patient preferences to the proposed intervention.This project uses a qualitative approach employing focus groups and interviews of participant women (pregnant or recently pregnant) and health care providers that aims to identify the preferred evidence-based strategies for women to effectively manage their GWG during and after pregnancy and how best to implement the selected intervention. Primary research question: What are the preferences of pregnant and post-partum women and their health providers for engaging in healthy eating and increased physical activity? Secondary questions include: What do pregnant or recently pregnant women and health providers identify as enablers or barriers that support or limit successful management of GWG? What are women\u2019s and health providers\u2019 perceptions of GWG in relation to their health and the health of the child? What approaches have women and health providers tried to manage excess GWG?Outcomes include an identified preferred diet and exercise intervention for the planned clinical trial and information, which enables refinement of a locally acceptable implementation plan for the intervention.Collectively information from women and service providers enabled a comprehensive understanding of barriers, enablers and opportunities for the successful implementation of an intervention for GWG management."}
+{"text": "Action potentials (APs) generated and sustained by ionic currents flowing through neural cell\u2019s membrane constitute the main way these cells communicate with each other. The most common, although not the only possible mechanism of generating APs, involves sodium influx that ensures cell depolarization and potassium efflux that ensures cell repolaroization. A sodium-potassium exchanger and leakage currents eliminate the ionic disturbance created by an AP. In a closely packed bundle of neuronal cells with fast diffusion of ionic species in the extracellular space (ECS) an AP generated in one axon could impact the excitability of nearby neurons. The ECS is similar in composition to the cerebrospinal fluid that baths the outer surface of the brain and is present in large internal cavities or ventricles and in the spinal canal. The ionic composition of ECS is mostly made of sodium and chloride dissolved in water with much smaller amounts of other substances, including potassium and calcium. Previous studies have considered the role of potassium in seizures by employing a computational model of potassium diffusion between periodically firing neurons . However"}
+{"text": "This correction will replace the previous correction made by PLOS ONE. There is more information that is missing from the Funding Disclosure.The first sentence in the Funding Statement should read:This research was supported in part by a National Geographic Society Discovery grant (awarded to DYY and DL), a SSHRC Partnership grant (awarded to DL), the Tula Foundation and Hakai Network for Coastal Peoples and Ecosystems."}
+{"text": "An association of Paroxysmal Hemicrania (PH) with Trigeminal Neuralgia (TN) was described in eight patients ,2 and haLEPs study supported the diagnosis of TN idiopathic. It is still debated if the rare association of TN and PH is a new entity or two distinct disease. Further investigations by neuroimaging might be useful to clarify this issue and to better understand the pathophysiology of these entities ."}
+{"text": "The establishment of European Reference Networks as laid out under the Cross Border Health Care Directive (CBHCD) is a major opportunity for the rare disease community. There have been many successful networks for rare disease groups, but their establishment has been ad hoc and funding streams variable. Sustainability has been a major challenge. Although the assessment of the quality of these networks has not been systematic, nonetheless networks have succeeded in establishing important infrastructure including disease specific registries, shared tools such as tele-expertise and the production of disease specific guidelines and training pathways.Within the CBHCD it is envisaged that European Reference networks will be established, and these will not only relate to rare diseases. These networks will primarily link nationally designated centres of expertise. Within the EUCERD a process is being followed to inform the CBHCD committee on the specific issues relating to ERNs for rare diseases. These recommendations relate to areas of designation and governance, capacity building and resources to support ERNs and quality assurance.The recommendations will be discussed in a series of meetings in 2012, with the aim of producing a EUCERD recommendation on ERNs for rare diseases by the end of the year in line with the timeline of the cross border health care directive."}
+{"text": "Rigid bracing has been the mainstay of orthotic intervention for children with neurological onset scoliosis. The use of rigid braces, however, often do not provide the expected outcomes clinicians are hoping for with Cobb angles curve increasing over time , linked This paper will discuss the use of dynamic elastomeric fabric orthoses (DEFO) in this client group and question whether rigid bracing is most appropriate for long term outcomes. It will also discuss whether waiting for the 25 degree Cobb threshold, before treatment, is prudent.This study will use single case presentations (n=5) to demonstrate the advantages of early intervention using both radiographs and pre and post intervention photographs to illustrate the outcomes possible. All of the children have neurological onset scoliosis and show short/ medium term outcomes.The use of DEFOs to control scoliosis has provided clinicians with an opportunity with which to reduce the number of children presenting for orthopaedic spinal surgery. Clinically the scoliosis clinic at the Norfolk & Norwich University Hospital has seen a declining number of children referred for scoliosis surgical management over the last ten years due to early intervention. The DEFO scoliosis suits appear to work by providing heightened proprioceptive input to the brain coupled with dynamic corrective forces to correct and re- align the spinal segments. The DEF"}
+{"text": "Since its publication by the European Society of Radiology (ESR) and the European Association of Nuclear Medicine (EANM), the Multimodality Imaging Training Curriculum has given rise to numerous discussions regarding its aims and applicability \u20134.Both societies therefore wish to clarify specifically the purpose and scope of the document. The aim of the Multimodality Imaging Training Curriculum as a joint European initiative is to advance the quality of performance and reporting of hybrid imaging by defining the scope of training for medical specialists in hybrid imaging. It outlines skills and knowledge requirements in nuclear medicine for those whose training background is in radiology and in radiology for those whose training background is in nuclear medicine.This training curriculum is intended to relate solely to the training of specialists in hybrid imaging from both radiology and nuclear medicine with the purpose of ensuring optimal use of this complex methodology for patient care. It by no means encompasses full training and/or qualification in imaging modalities unrelated to hybrid imaging techniques."}
+{"text": "Familial Adenomatous Polyposis (FAP) is a well described autosomal dominant syndrome, whereby individuals develop multiple (up to thousands) of adenomatous polyps in the large bowel, conferring an extremely high risk of bowel cancer if left untreated.If the family specific mutation is known, genetic testing can be offered to at risk individuals to determine the need for endoscopic surveillance. Guidelines suggest starting endoscopic surveillance from the early teens. Most individuals with FAP undergo colectomy between the ages of 15 and 25 years [Recent studies have shown that many adults with FAP want their children to undergo genetic testing before the age of 12 years, the approximate age at which genetic testing is usually offered in Australia .Health professionals working in cancer genetics in Australia and New Zealand completed a web based survey aimed at examining their attitudes and experiences regarding genetic testing for young people at risk of FAP.Findings from the survey provide an insight into the views and practices of health professionals working in this area, including: the age at which they believe testing young people is most appropriate; their experiences regarding parental requests for testing of younger children; and whether the option of prenatal testing and pre-implantation genetic diagnosis is routinely discussed with individuals who have FAP and are also of child bearing age. These have important implications for clinical practice within the Australian cancer genetics community."}
+{"text": "Epigenetic mechanisms have emerged as important contributors to cancer initiation and progression. DNA methylation of gene promoters has been extensively studied since the 1970s but the role of DNA methylation in the activity of distal regulatory elements (DREs) has only recently emerged. We have previously shown that tissue-specific differentially methylated regions overlap with DREs and that DNA methylation status correlates with their activity and the ability to bind transcription factors. We and others also demonstrated that such elements are dynamic and prone to demethylation. Our goal is to understand the role of DNA methylation and hydroxymethylation in the activity of DREs in cancer progression. OSCC, characterized by a double aetiology (exposure to carcinogens and HPV infection) and highly variable response to therapies, will be used as a model system.Herein, we present the preliminary data of genome-wide identification of DREs in HPV-positive and HPV-negative OSCC cell lines using Digital DNaseI-Seq method and the application of this method in detection of chromosomal alterations \u2013 insertions and deletions. Data obtained at this stage will be used to establish a new methodological workflow for the 5mC and 5hmC analysis at DREs using capture array for fragment enrichment followed by third generation sequencing."}
+{"text": "The lack of a mechanism that aligns financial flows for global health research towards public health priorities limits the impact of health research on health and health equity. Collaborative groups of health research funders appear to be particularly well situated to ameliorate this situation and to initiate discussion on aid alignment for global health research. One such group is the Heads of International Research Organizations (HIROs), which brings together a large number of major government and philanthropic funders of biomedical research. Surprisingly, there is hardly any information publicly available on HIROs' objectives, or on how it aims to achieve more harmonization in the field of research for health. Greater transparency on HIROs' objectives and on its current efforts towards addressing the gap between global health research needs and investments would be desirable, given the enormous potential benefits of more coordination by this group. Such waThe Global Ministerial Forum on Research for Health in Bamako in 2008, in line with the Paris Declaration and the Accra Agenda for Action , recogniIn discussing the need for increased coordination among funders of research for health, it is important to consider what exactly needs to be coordinated. Recent positive developments among funders include the identification of common approaches to monitoring and evaluation and sharing research data ,18. Howe\"Heads of International Research Organisations\" OR \"Heads of International Research Organizations\" OR \"Heads of International biomedical Research Organisations\" OR \"Heads of International biomedical Research Organizations\" OR HIRO[Title/Abstract] OR HIROs[Title/Abstract] returns no relevant results. HIROs is not the only group where funders collaborate that is sparing with information. Recently, IHP+ was criticized for its lack of transparency [Since HIROs brings together the heads of major funders of biomedical research, it appears to be particularly well suited to give rise to the major changes in health research governance that are called for by the Bamako call to action. Unfortunately, HIROs has made little information available on its goals or on how it aims to achieve increased harmonization, alignment and coordination. An internet search reveals only websites noting that a meeting has taken place, and a search on PubMed for sparency . Individsparency .An initiative like the HIROs group is most welcome in the crowded field of global health research funders. It is surely one of the few groups that could initiate discussion on aid alignment for global health research. Given the enormous potential benefits of more coordination by this group, the contents of its discussions are of great interest to the global health research community. More transparency on HIROs' intentions for achieving increased coordination and on its current efforts towards addressing the gap between global health research needs and investments would therefore be desirable.The authors declare that they have no competing interests."}
+{"text": "High-density microelectrode arrays (MEA) can measure neuronal activity in potentially thousands of units with a high spatial resolution . HoweverHere we estimate the quality of spike detection using correlations as an indicator to distinguish between neuronal activity and noise. First we use a threshold-based detection of putative spikes, with a deliberately low threshold to lower the number of undetected spikes. We estimate pairwise correlations between spike trains based on spike ranks rather than time in order to reduce the effects of nonstationarities in the recordings. We then assume that the frequency of spontaneous firing in the neurons is small compared to the evoked firing and check for each detected spike whether we can find correlated units which are active within a short interval around its spike time. For each unit, we compare the relative frequency of such correlated spikes to the frequency that would be obtained by doing the same analysis with a Poisson spike train.This yields a per unit estimate of the fraction of putatively falsely detected spikes and we validate the procedure using shuffled data and recordings of an empty MEA (see Figure"}
+{"text": "The 2008\u20132012 French Alzheimer plan is marked by the experimental implementation of \u201cHomes for Integration and Autonomy for Alzheimer patients\u201d with implementation of intensive case management process for people in complex situation. In 17 experimental sites, teams of case managers (CMs) have been implemented with a total of 67 case managers for performing an intensive case management.We conducted a qualitative study to develop a full understanding concerning the implementation of the case management process and the links with the interdisciplinary approach. Focus groups were conducted in 2010 to explore the perceptions of case managers six months after their recruitment.Interdisciplinary approach inside the case managers\u2019 team has been rapidly constructed to resolve the complex situations, homogenize practices and help to create the new competency. Multidisciplinary and proximity team, common training and difficulties to get the good fit with professionals increased the interdisciplinary approach inside the case managers\u2019 team. Interdisciplinary approach between case managers and clinical professionals was few implemented because of the high level of fragmentation and lack of case managers legitimacy.Implementation of intensive case management in an innovative integrated services delivery showed a stronger interdisciplinary approach between case managers compared to with clinical professionals."}
+{"text": "Infections with the hepatitis B virus (HBV) are one of the major global public health problems. HBV has been categorized into different genotypes and subgenotypes that are distributed distinctively around the world. These classifications provide important information as the genotypes differ with respect to the clinical course of disease as well as in their response to antiviral therapy, and subgenotyping allows relevant conclusions about transmission routes, global or local spreading of infections or phylogenetic relations between viral strains . SeveralThe latest of these studies (published in 2012) investigated HBV genotypes and subgenotypes among patients living in the Eastern Black Sea region of Turkey . The aut"}
+{"text": "To the Editor,The article by E. Yorgancilar et al. presentsIn connection with the article let us ask some questions to the authors: Were all of the patients operated on primarily? Why were the extradural abscesses and the temporal lobe abscesses not evacuated during the mastoid surgery? Temporal lobe abscesses may be evacuated during ear surgery (by puncture and aspiration). In this method of temporal lobe abscesses evacuation neuronavigation is a very serviceable tool. Neurosurgical approach to the cerebellar abscess and to the abscess located in occipital area is preferred. In patients with LST treatment consists of canal wall down mastoidectomy, delamination of dura and puncture of sigmoid sinus. When perisinus abscess is absent and a patient does not present symptoms of sepsis the clot is not removed from sigmoid sinus . In pres"}
+{"text": "Hemodynamic single use devices (SUD) namely cardiac catheters are reused worldwide and in India, where cost and aggressive intervention take priority over infection prevention, is no exception. An important issue associated with the reprocessing of any SUD is the potential for subsequent transmission of infectious agents.The reprocessing and sterilization methodology of reuse of SUD is often left to the discretion of the nursing staff (the clinicians do not play any role).The concerned staff often put the process best they know or is passed on by the predecessors. Safety, sterility issues are overlooked.To evaluate reprocessing and sterilization methodology. To develop guidelines and oversee their implementations that result in standardized practices and improve the safety of hemodynamic device reuse.Infection Control team took over the responsibility of the process initially by a small pilot study. A robust cleaning and sterilization processes protocol based on basic microbiological principles was developed and tested for bacterial, viral and endotoxin reminants before using on patients. Initially twenty cardiac angiogram patients (consent was taken) were followed up for three months for any adverse events with reuse policy in place. Clinicians feedback was taken and modification made in the process at the end of study. It was extended it to a full fledged protocol and implemented.This system is in place for the past 5 years and there are no adverse events reported on follow up (over 8000 angiograms so far).The facility does 12 angiogram per day and reuse is 75%.The protocol implementation has resulted in determining the number of times each catheter can be reused. The process is continuously audited and compliance to the protocol is 100%.The steps for repossessing are easy, adaptable, outcome measurable, sustainable and cost effective in resource limited settings.SUD is reused rampantly. No standard guidelines are available .The reprocessing is left to the staff who are ill informed of the consequences of reuse. The reprocessing should be based on sound microbiological and infection prevention principles and implementable .Frequent audit and follow up of patients is essential.None declared."}
+{"text": "Sir,It is well known that contamination of the anaesthesia work area with potential bacterial pathogens and blood occurs intraoperatively followinWe propose the use of the plastic cover of the disposable PVC endotracheal tube to keep the contaminated laryngoscope blade to avoid soiling the top of the anaesthesia machine and work area. The laryngoscope blade can easily be kept inside this plastic cover which had been opened before intubation . The conThe complex intraoperative environment has been theoretically associated with the development of nosocomial infections and may contribute to the emerging pattern of increasing bacterial resistance in the hospital setting. Currently, there is no consensus regarding a satisfactory method for the routine cleaning, disinfection and sterilization of laryngoscope blades and handles. It has been shown that 33% of anaesthesia work surfaces Tobin MJOur method of safeguarding the anaesthesia work area from soiling with the contaminated laryngoscope blade is very simple, does not involve any extra expenditure and has the potential to reduce iatrogenic transmission of infection in the perioperative setting."}
+{"text": "Two institutions that provided for payment of the publication charges for the article- a funding organization and university with which authors are affiliated that disbursed the funding- were incorrectly omitted from the funding statement. The Funding Statement should read: \"The article processing charge was funded by the German Research Foundation (DFG) and the Albert Ludwigs University Freiburg in the funding programme Open Access Publishing.\""}
+{"text": "To determine whether the pattern of late presentation noted previously in 2007 and 2008 in all patients newly diagnosed with HIV in our regional unit has decrA retrospective case-note audit was undertaken in the ID/GUM clinics for all patients who were newly diagnosed with HIV in 2009. Patients were characterised as late presenters if they presented with a CD4 count of less than 200 or an AIDS defining illness. Medical records were reviewed to determine whether the patients had previously been diagnosed with a clinical indicator disease as defined by the UK National HIV Testing Guidelines, 2008, which might have facilitated earlier diagnosis of HIV. These 2009 data were compared with previous 2007 and 2008 data.See table 1Significant numbers of patients still present with advanced HIV disease in the North East of England in 2009 despite the publications of the National UK Testing Guidelines in 2008. The numbers of late presenters have not changed as compared to 2007 and 2008. This is despite that a large proportion having had previous indicator diseases that should have prompt clinicians to test for HIV. Further education and awareness of the UK National Testing Guidelines 2008 should be encouraged if this burden of late presenters is to be reduced."}
+{"text": "The vertebrate retina has a very high dynamic range. This is due to the concerted action of its diverse cell types. Ganglion cells, which are the output cells of the retina, have to preserve this high dynamic range to convey it to higher brain areas. Experimental evidence shows that the firing response of ganglion cells is strongly correlated with their total dendritic area and only weakly correlated with their dendritic branching complexity. On the other hand, theoretical studies with simple neuron models claim that active and large dendritic trees enhance the dynamic range of single neurons. Theoretical models also claim that electrical coupling between ganglion cells via gap junctions enhances their collective dynamic range. In this work we use morphologically reconstructed multi-compartmental ganglion cell models to perform two studies. In the first study we investigate the relationship between single ganglion cell dynamic range and number of dendritic branches/total dendritic area for both active and passive dendrites. Our results support the claim that large and active dendrites enhance the dynamic range of a single ganglion cell and show that total dendritic area has stronger correlation with dynamic range than with number of dendritic branches. In the second study we investigate the dynamic range of a square array of ganglion cells with passive or active dendritic trees coupled with each other via dendrodendritic gap junctions. Our results suggest that electrical coupling between active dendritic trees enhances the dynamic range of the ganglion cell array in comparison with both the uncoupled case and the coupled case with cells with passive dendrites. The results from our detailed computational modeling studies suggest that the key properties of the ganglion cells that endow them with a large dynamic range are large and active dendritic trees and electrical coupling via gap junctions. One of the many important features of the vertebrate retina is the capacity to respond to signals over a wide range of intensities with a dynamic range of several orders of magnitude spatially extended excitable systems whose nonlinear input-output transfer function endows the neuron with a large dynamic range. If this hypothesis is valid, most cells of the vertebrate retina do not benefit from this property because they have simple dendritic structures. The possible exceptions are the ganglion and amacrine cells, which are the most complex cells of the retina and have relatively intricate dendritic arbors A single neuron characteristic, which is claimed to be fundamental for enhancing the neuronal dynamic range in general is the size and complexity of the neuronal dendritic tree with active conductances versus stimulus current (F\u2013I) curve. These studies found strong correlations between the total somatic plus dendritic surface area of the cell and its electrophysiological class and F-I curve.There is evidence in favor of a relationship between properties of ganglion cell dendritic trees and their firing behavior, however not exactly as predicted by the above theory. Computational studies with morphologically reconstructed models of ganglion cells of the salamander retina From the point of view of network properties, a mechanism that may contribute to enhance the collective dynamic range of the network is electrical coupling between cells via gap junctions Ganglion cells of the vertebrate retina are coupled by electrical synapses via dendrodendritic gap junctions In this work we use morphologically reconstructed, multicompartmental models of ganglion cells of the vertebrate retina with realistic distributions of ion channels to perform two computational studies on the dynamic range of ganglion cells. The first is concerned with the dynamic range of isolated ganglion cells and its objective is to compare the effects of active and passive dendrites on the cells\u2019 dynamic range and to assess what measure of size of dendritic arbor correlates better with the ganglion cell dynamic range: total dendritic surface area or number of dendritic branches. We measure the correlation between dynamic range and these two measures of dendritic tree size for a population of cell models with either passive or active dendrites. Our results show that active dendrites enhance the dynamic range in comparison with passive dendrites and when dendrites are active the dynamic range of isolated ganglion cells is positively correlated with either measure of dendritic tree size, though more strongly with total dendritic surface area than with number of dendritic branches.The second study is aimed at assessing the role of ganglion cell coupling by gap junctions on the dynamic range of the ganglion cell population. We construct a network of ganglion cells by coupling them via dendrodendritic gap junctions with realistic conductance values. The network simulates a small area of the ganglion cell layer. We consider different configurations of the network, with passive/active dendrites and different values of the electrical synapse conductance. The dynamic range of the network is measured either directly, by the average firing rate of all neurons in the network, or indirectly, by the firing rate of a lateral geniculate nucleus pyramidal neuron model coupled by chemical synapses to all ganglion cells in the network. As far as we know, this is the first computational investigation of the dynamic range of a neural cell layer using reconstructed neurons with full morphologies and realistic ion channel distributions. Our results show unequivocally that electrical coupling, especially when dendrites are active, increases the dynamic range in comparison with the uncoupled case.Our two results put together imply that to maximize the dynamic range of a population of vertebrate ganglion cells the best configuration would be cells with large and active dendritic trees coupled by gap junctions.We worked with a sample of 20 morphologically and biophysically detailed models of ganglion cells from the tiger salamander (for details see Methods). Cells belonged to four different morphological groups (5 per group), based on the size and complexity of their dendritic trees 1 to 2.103 pA in steps of 10 pA. In The dynamic range of each cell in the sample was determined from its F-I curve (see Methods). To obtain the F-I curve of a cell model, we submitted it to somatic step current injections ranging from 10The transition from tonic firing to rest observed in versus number of dendritic branches , the dynamic range is only marginally larger when the compartment is active in comparison with when the compartment is passive. However, for larger areas the behaviors of the cases diverge dramatically: the dynamic range for the active case constantly increases with area while the dynamic range for the passive case constantly decreases with area. The difference \u0393 between the dynamic ranges for the active and passive cases is shown in The results of this experiment are given in The second study was designed to assess the effect of electrical coupling between ganglion cells on the collective dynamic range of the cells. We simulated a 3\u00d73 square array of ganglion cells coupled via dendrodendritic gap junctions as shown in 1 to 105 pA. This central neuron excites the other neurons via gap junctions so that we can relate the steady state firing frequency of each one of the nine neurons in the array to the amplitude of the applied current input. In our experiments, step current inputs were applied to the central neuron of the array with amplitudes varying from 10Each coupled cell exhibits a F-I pattern similar to the one of the single cell in Although the enhancement was similar for the simulations with passive and active trees, the maximum dynamic range was obtained for the coupled array of ganglion cells with active dendrites . This ref given in f was calculated as IA/IP, where IA is the maximum current amplitude for the indicated cell of the coupled array with active dendrites and IP is the maximum current amplitude for the same cell with passive dendrites. The calculated value of f\u200a=\u200a2.94 shows that when cells in the coupled array have active dendrites the chosen cell can respond to inputs almost 3 times higher before saturation when compared to the same cell in the same coupled array but with all cells in the array with passive dendrites.A quantitative estimate of the contribution of active dendrites to the further enhancement of the dynamic range of a cell in the coupled array is provided by factor An indirect way to assess the dynamic range of the coupled array of ganglion cells is by measuring the dynamic range of the pyramidal neuron that receives input from them. The main result of our simulation studies with morphologically reconstructed ganglion cell models is that active dendrites enhance the dynamic range of the cells. The other two important results are that (1) for isolated ganglion cells, the dynamic range has positive and significant correlation with the size of the active dendritic tree , and (2) by coupling ganglion cells via gap junctions the dynamic range of the coupled cells is further enhanced, being greater than the average dynamic range of the individual cells.Why a cell with active dendrites has a larger dynamic range than a morphologically similar cell with passive dendrites? Passive dendrites act as current sinks. Current injected at the soma escapes to dendrites reducing the efficiency of the input current in making the cell fire. Active dendrites, on the other hand, allow soma-generated spikes to propagate into the dendritic tree. These in turn generate dendritic spikes, which interact nonlinearly across the dendritic arbor leading to creation and annihilation of spikes and the consequent enhancement of the cell\u2019s dynamic range This explains the lower values of dynamic range for ganglion cells with passive dendrites in comparison with ganglion cells with active dendrites. It also explains the positive correlation between dynamic range and size of the dendritic tree for cells with active dendrites and the negative correlation between dynamic range and size of the dendritic tree for cells with passive dendrites. Since passive dendrites act as current sinks, the larger the dendritic tree, the more space for current to sink. On the other hand, larger dendritic trees have more active ion channels to support spike creation and summation.per area rather than per dendrite.And why dendritic surface area correlates better with dynamic range than with number of dendritic branches? The stronger correlation of dynamic range with dendritic surface area than with number of dendritic branches means that dendritic surface area is a better predictor of dynamic range than number of dendritic branches. As commented above, the critical factor for the enhancement of the dynamic range of a cell is to have active ion channels distributed over its dendrites. So, surface area correlates better with dynamic range simply because it is a better estimator of the number of ion channels in a dendritic tree than number of dendrites. This is because the number of ion channels in a dendritic tree is determined by channel densities A demonstration that the key factor to enhance the dynamic range of a ganglion cell is the number of active ion channels in its dendrites is given by the results shown in Our results show that when ganglion cells are coupled by gap junctions their dynamic range is much higher than the average dynamic range of isolated ganglion cells. Even ganglion cells with passive dendrites, when coupled by gap junctions, have a larger dynamic range than isolated ganglion cells with active dendrites. The average dynamic range of these latter is 11.30 dB and the dynamic range of the former is 31.9 dB. When the coupled cells have active dendrites, the dynamic range of the array is a little higher: 34.7 dB.Why coupled cells with passive dendrites have a larger dynamic range than isolated ganglion cells with active dendrites? The reason for this is that dendrodendritic coupling by gap junctions interlinks the somata of the cells, which have active ion channels, transforming the system into a spatially extended excitable medium. The mechanism responsible for the enhancement of the dynamic range of the coupled ganglion cells with passive dendrites is, therefore, the same one responsible for the enhancement of the dynamic range of an isolated ganglion cell with active dendrites, namely nonlinear summation of spikes Based on our results on the dynamic range of coupled ganglion cells we can make two predictions: (1) blockade of gap junctional coupling of ganglion cells in the vertebrate retina should strongly reduce (approximately by 40%) the output dynamic range of the retina; and (2) selective suppression of dendritic (but not somatic) spiking of coupled ganglion cells in the vertebrate retina should reduce the output dynamic range of the retina by a much smaller factor (approximately 9%). These reductions could be verified by simultaneous recording from lateral geniculate nucleus pyramidal cells.In a previous work, we used a detailed model of the scotopic pathways that convey information from rods to a single ganglion cell of the vertebrate retina to study the effect of coupling by gap junction at the first stages of these pathways on the dynamic range of the ganglion cell We further predict, based on our results, that it is unlikely that any type of ganglion cell would have a passive tree or a very low channel density at the dendrites. We also predict that, if there are uncoupled ganglion cells in the retina, these are distributed over the retina so that cells with large dendritic trees (which imply large dynamic ranges) are able to integrate signals from circuits mediated by rods and cones responding to dim and bright light conditions. On the other hand, ganglion cells with small dendritic trees should be specialized to photopic or scotopic conditions. These predictions could be experimentally confirmed in the future with a detailed study on the distribution of morphologically distinct ganglion cells over the vertebrate retina.Future investigations can provide a better understanding on the roles of cell connectivity and membrane properties on the dynamic range of the retina. The model can be further improved with a more realistic synaptic input distribution over the dendrites of ganglion cells and also extended to include the main circuits involved with dim and bright light processing in the retina.Ambystoma tigrinum) retina http://senselab.med.yale.edu/modelDB). The reconstructed neurons were classified into four groups: medium-complex (MC), medium-simple (MS), small-complex (SC), and small-simple (SS) We worked with a sample of 20 morphologically reconstructed, three-dimensional ganglion cell models from the tiger salamander (A), one calcium-dependent channel (KCa). The dynamics and parameters of the calcium current were able to fit the high-voltage activated component of the calcium current (L-type) described in a previous experimental work A channels have inactivation kinetics. The channel densities for each group of compartments are given in The same set of active ion channels were placed in all ganglion cell models. Each model has four voltage-dependent channels was calculated as:Na and IK currents and the T-type calcium current. The values of the parameters used to model these channels can be seen at the original work The single compartment model of a lateral geniculate nucleus pyramidal neuron used to obtain We used experimental evidence of dendrodendritic bidirectional gap junctions connecting ganglion cells tbinding \u200a=\u200a0.2 ms, tunbinding \u200a=\u200a1.1 ms), activated by square-wave transmitter pulses of amplitude 1 mM and duration 0.3 ms The excitatory chemical synapse between the axon of a ganglion cell and the LGN pyramidal cell was modeled by a closed/open gating scheme (The network model consisted of 9 ganglion cells and a single LGN pyramidal cell. The ganglion cells were arranged in a 3\u00d73 square grid and connected by gap junctions as shown in 1 pA to 105 pA separated by steps of 10 pA. We consider 0.3 seconds a period sufficiently long for a reliable estimate of the ganglion cells\u2019 firing frequency and to obtain the dynamic range of the ganglion cells and the pyramidal neuron. The simulations were performed in NEURON 7.1 To obtain the average response of the ganglion cells and the pyramidal neuron for a given amplitude of current clamp, we stimulated the network with the current for 0.3 seconds and counted the number of spikes during this period. We used current amplitudes in the range from 10"}
+{"text": "The standardised mortality ratio (SMR) is a key parameter by which ICUs quantify their performance. We report the effect of increased ICU consultant numbers on mortality and SMR in a central London teaching hospital.The study was registered with the Clinical Audit Support System. Data were collected prospectively from March 2005 to date by a dedicated audit team and were analysed as part of routine audit.Table In this study we describe the remarkable reduction in both mortality and SMR that has occurred in the general ICU at King's College Hospital over the past 5 years. The improvement in outcomes was associated with a quadrupling of ICU consultant numbers. We hypothesize that this increase in intensivist numbers allowed the reinforcement of a closed model of ICU care. We are now further analysing these data to search for quantitative improvements in surrogate markers of quality of care over the same time frame."}
+{"text": "Most of our cognitive life depends on our brain's ability to generate internal representations of the external world. The hippocampus is a brain structure that supports the formation of internal representations of the spatial environment could suggest that once sequentially active cell assemblies are bound into a temporal sequence during theta they no longer need the theta oscillation for them to be expressed at a later time. This scenario would be consistent with the third prediction that posits that compressed temporal sequences of novel place cells should not be expressed before the novel spatial experience. However, temporal firing sequences reflecting the future order of place cell firing and future novel trajectories can be expressed during sharp-wave ripple epochs occurring during sleep or rest in na\u00efve animals before they had any experience on long linear tracks (Dragoi and Tonegawa, We explored the role of synaptic plasticity of intrinsic hippocampal circuitry in the internal organization of the hippocampal network in sequential cellular assemblies (Dragoi et al., The existence of preconfigured cellular assemblies and the phenomenon of preplay lead to a novel concept that an animal's encounter with a novel spatial experience is encoded in the hippocampus, in part using blocks of pre-made cellular firing sequences rather than creating all the sequences de novo in response to the external cues. This mechanism may contribute to the role of the hippocampus in prospective coding (Schacter et al.,"}
+{"text": "HIV drug resistance has proved to one of the greatest challenges to effective and durable viral suppression. Selection of drug resistance mutations and widespread cross-resistance between agents of a class are a main obstacle when administering antiretroviral agents in clinical practice. This has been perhaps the greatest barrier to incorporating HIV care in to routine medical management administered by general practitioners. As opposed to many other disease states where the development of effective therapy allowed for simple widespread use as part of general care, HIV drug resistance has mandated cumbersome, resource consuming and demanding medical practice from both clinicians and even more so patients. Extremely demanding lifelong drug taking behavior by patients, high level clinician knowledge and expertise; and expensive monitoring technologies are all required for durable clinical benefit from antiretroviral therapy due to resistance.But knowledge and understanding of drug resistance has also brought great improvement in HIV care. Technologies to detect and identify resistance as well as rapid and reasonably accurate interpretation have been developed and refined. A far greater understanding of resistance and its consequences by providers and patients have molded our highly effective modern care. Development of improved drugs including those with unique mechanisms has greatly benefited from our growing knowledge.As we move forward to the next decade of HIV care, we need to revisit how we relate to and address HIV drug resistance. Old assumptions need to be challenged; data needs to be critically evaluated considering our new and improved drugs, and widespread treatment of patients in resource limited settings need to be specifically prioritized as challenges may not be identical. How should our much improved (but expensive) resistance assays be used? To what degree do we need to continue to closely monitor HIV drug resistance and in what settings? Is resistance still a high priority when designing optimal drug combinations for our patients \u2013 those naive and those drug-experienced? How can we minimize the barrier resistance presents to more simplified and widespread antiretroviral therapy? These are important issues we must address to guarantee the best care for the most patients in coming years."}
+{"text": "The authors would like to make the following corrections to their published paper:50 fold changes for the NAI-resistant viruses reported in There was an error in calculation of ICWe apologize for any inconvenience caused to the readers."}
+{"text": "We alsoet al. . In thiThe autopsy lungs of severe asthmatics and controls were examined by immunohistochemistry to reveal the lymphatics and morphometry using an image analyzer system was applied to compare the distribution of airway lymphatics in the same level of airways among these asthmatics and controls. We also estimated the degree of airway smooth muscles and fibrosis around the airways which would interrupt or disrupt airway lymphatics.The total area of airway lymphatics in each lung was found to be positively correlated with the airway radius. The distribution areas of lymphatics in larger airways of both types of asthmatics were significantly decreased than controls, and the severe asthmatics with increased muscle layers only in larger airways were found to have less lymphatics in these airways than the other group of severe asthmatics with increased smooth muscles in whole airways. The lymphatics around smaller airways were also reduced in both phenotypes of asthmatics without statistic difference. The airway lymphatics of these severe asthmatics were interrupted by both thickened muscle bundle layers and fibrotic tissues developed in the airway walls.These results indicate disrupted airway lymphatics as a novel cause of mucosal edema in severe asthmatics."}
+{"text": "The implementation of National Digital Health project get a high opinion from leaders at all levels and domestic and foreign experts, its research get a tremendous impact on construction of health information, play a technical supporting role of boosting health care reform and servicing people health, and make important significance to promote the development of Chinese public health care."}
+{"text": "The Building Bridges initiative was designed to promote positive cross-cultural interactions among young people and improve the mental health of migrant and refugee populations by addressing race-based discrimination. The goal of the evaluation was to build the evidence and knowledge base for promoting mental health and wellbeing by reducing discrimination through promoting cooperative intercultural contact. The design of the evaluation was multi-level with data collected at the individual, organisational and community levels to evaluate change associated with program participation and examine barriers and enablers to implementation.The evaluation used a before and after design. It examined characteristics of participants, the environment for intercultural contact , attitudes to people from other cultures and Basic Psychological Needs . Both quBuilding Bridges was effective in reaching children and young people who were affected by discrimination and for whom improving intercultural relations was a priority. Building Bridges projects all scored highly on their ability to provide an environment for effective intercultural contact. The results suggest that performance against the Equal treatment and Shared goals/Co-operation is important for how participants feel about themselves and others. Institutional Support for intercultural contact may be critical for translating these gains into meaningful changes in intercultural relationships.The analysis of the impact of the intervention showed that attitudes to intercultural relationships remained the same or improved marginally for people with nationalities other than Australian over the course of the intervention. However, attitudes to intercultural relationships declined for people with Australian ethnicity bringing them in closer alignment with the attitudes of participants with nationalities other than Australian. There was also evidence of positive effects on mental wellbeing with particular improvements for people with ethnicities other than Australian. Overall, the results suggest of a shift in power relations between the populations involved which had positive health effects.Overall, Building Bridges is a pilot program that has benefited the individuals, organisations and community involved and has yielded important learnings about the implementation of pro-diversity programs. The evaluation findings challenged assumptions about the impact of living in a multicultural society on intercultural relations and make a significant contribution to our understanding of pro-diversity interventions."}
+{"text": "To the Editor: We have critically read the brief report by Dr. Taha et alUnfortunately, this study recruited only male medical students and hence lost an opportunity to explore simultaneously the water pipe smoking behavior of female medical students. This is a major caveat because a comparative study involving both genders might have substantiated or refuted already emerging findings; one of them is that water pipe smoking is more common among females. Another limitation of this study is that the authors designed a new questionnaire rather than using one of the most relevant standardized questionnaires developed jointly by international health organizations, including the World Health Organization, the Canadian Public Health Association and the US Centers for Disease Control and Prevention. In doing so, the authors fell short of assessing the specific and relative social and cultural beliefs of male versus female students in Saudi Arabia, as medical students in medical colleges often hail from different regions. Furthermore, this study did not add anything major or new to the existing literature on shisha smoking. However, one finding and related explanation is noteworthy: mothers of water pipe smokers had an advanced education compared with mothers of those of nonsmokers. According to this study this result was speculatively attributed to two factors including shisha smoking as a prestige behavior and an indication of a modern standard of living. However, the commentators feel that these explanations might not be true because mothers were not asked about the explanations underlying the linkage between their higher education and shisha smoking. This finding needs further study. There might be more plausible explanations: shisha smoking in modern times is merely a continuation of a very old traditional behavior of the Eastern world and it may not be a prestigious behavior at all; rather it may reflect low status. A study that recruits a larger sample representative of all Saudi medical colleges might truly shed light on this finding and a more detailed explanation must be included in the measurement tools.4Finally, shisha smoking is a global health problem of the young population and needs effective preventive strategies across the world, including health warning labels on water pipe tobacco products and related accessories.The author of the original report declined to respond"}
+{"text": "To review existing methods to specify condition specific prevalence of and experience of the use of CAM in children in the US and begin to specify a strategic data plan to support evaluation of pediatric integrative medicine.Qualitative and quantitative methods were used to evaluate the National Health Interview Survey\u2019s Children\u2019s CAM Supplement (2007), the Medical Expenditures Panel Survey (2008) and the National Survey of Children with Special Health Care Needs (2009/10), and to compare findings and specify strengths and weaknesses of each.Using the NHIS Child CAM Supplement method for asking about reasons for the use of CAM in children, we would conclude that fewer than 15% of all children using CAM do so for specific health conditions. However, over 91.7% of all child CAM users had parents who indicated in the larger NHIS that their child had one or more of 59 health problems or conditions assessed and over half of these had 3 or more health conditions. Nearly 40% of all child CAM users met criteria for having a special health care need. Linkage of NHIS and MEPS datasets result in 2411 cases of data - insufficient to validly explore the many condition specific patterns and associations critical to better understanding the need for and impact of integrative medicine for children. NS-CSHCN findings reveal similar overall prevalence and patterns of use and offers alternative methods for consideration.NHIS Child CAM Supplement methods are not valid for assessing CAM use among children with specific health conditions. Alignment with methods used in conventional medical care will enable comparisons between and relationships among CAM and conventional medicine use in the care of children\u2019s health conditions. A strategic approach to ensuring sufficient and valid data are collected across all national surveys is indicated."}
+{"text": "Participant recruitment is understood to be one of the most difficult aspects of the research process. Researchers are now devoting increasing amounts of time and resources to understand how participants decide to take part in research and what researchers can do to make their work appeal to potential participants. The purpose of the study is to assess the problems experienced by researchers in Northern Ireland when recruiting human participants into trials and studies and to gain insight into how researchers handle and overcome these issues. The main research question being addressed by this research is to develop an understanding of the problems experienced by staff when recruiting human participants to research projects. Methods used to increase study recruitment were also examined. The participants in this research are investigators and other associated staff on research studies based in Northern Ireland. Potential participants were identified through contacts with research active organizations such as the academic researchers in Queen\u2019s University Belfast and research physicians and clinical trialists employed by the Belfast Health and Social Care Trust. Each organization forwarded on the survey request via email or newsletters. Researchers willing to take part accessed the questionnaire through the Survey Monkey website. This study utilised a cross-sectional questionnaire design."}
+{"text": "Secondary growth and the development of woody tissue is a key process in the formation of woody biomass. The gene family of Class III HDZip genes has been shown in the herbaceous Arabidopsis model to play a central role in regulating polarity and vascular development. While Arabidopis is a poor model for investigating processes of wood formation, in this project all poplar Class III HDZip genes were cloned and expressed in hybrid aspen as a tree model system. To circumvent an endogenous regulation mechanism involving microRNAs the sequences were also mutated to render them microRNA resistant. Lines expressing the mutated Poplar ortholog of the Arabidopsis Revoluta gene (Populus Revoluta PRE) show a spectacular phenotype with stunted growth, radialized and rolled leaves, and a double and at times triplication or quadruple layer of the xylem, suggesting the formation of multiple layers of cambium. ClassIII HDZip genes have thus been shown to be crucial for the formation of lignified tissue in trees."}
+{"text": "The recently occurred pandemic H1N1 has given lessons on the significance of a multisectorial approach in developing mechanism for responses and preparedness against the spread of communicable diseases. This approach can expand beyond the administrative jurisdiction of a country when there is transboundary movement of diseases when measures taken require cross-border coordination. In this notion, regional integration appears to be a mechanism to address this challenge.The Asia-Europe Foundation (ASEF) Network for Public Health launched in May 2009 was established as part of the wider initiative of Asia-Europe Meeting (ASEM) Foreign Ministers\u2019 Meeting in combating possible human influenza pandemic. Financially supported by the Government of Japan for a period of 5 years (2009-2013), the ASEF Network is part of the wider ASEM Initiative for the Rapid Containment of Pandemic Influenza which also includes a regional stockpile.The paper will highlight the three thematic working groups of the ASEF Network and their activities for the past two years and how these activities have contributed in building bridges among public health stakeholders in Asia and Europe."}
+{"text": "Whereas astrocytes have been in the limelight of scientific interest in brain energy metabolism for a while, oligodendrocytes are still waiting for a place on the metabolic stage. We propose to term the interaction of oligodendrocytes with astrocytes and neurons: NOA (neuron\u2013oligodendrocyte\u2013astrocyte) interactions. One of the reasons to find out more about metabolic interactions between oligodendrocytes, neurons, and astrocytes is to establish markers of healthy oligodendrocyte metabolism that could be used for the diagnosis and assessment of white matter disease. The vesicular release of glutamate in the white matter has received considerable attention in the past. Oligodendrocyte lineage cells express glutamate receptors and glutamate toxicity has been implicated in diseases affecting oligodendrocytes such as hypoxic-ischaemic encephalopathy, inflammatory diseases and trauma. As oligodendrocyte precursor cells vividly react to injury it is also important to establish whether cells recruited into damaged areas are able to regenerate lost myelin sheaths or whether astrocytic scarring occurs. It is therefore important to consider metabolic aspects of astrocytes and oligodendrocytes separately. The present review summarizes the limited evidence available on metabolic cycles in oligodendrocytes and so hopes to stimulate further research interests in this important field. The body of research from the last century has established the present view of contiguous neurons in continuous, dynamic interaction with several types of glial cells . The interactions between neurons and astrocytes characterized by the glutamate\u2013glutamine(\u2013GABA) shuttle have received considerable attention since its discovery in the 1970s an increase in MCT1 was observed in the spinal cord described above be extended to a tri-cellular one including oligodendrocytes? The lack of knowledge available on the metabolic role of oligodendrocytes in the brain was highlighted recently with two publications in Nature has a tri-cellular compartmentation , NAA is then assembled and released from neurons and hydrolyzed to acetate and aspartate \u22121 for the synthesis of oxaloacetate? Aspartate is an essential member of the malate aspartate shuttle which is the major shuttle for reducing equivalents from NADH from glycolysis into the mitochondria interactions. Well-designed experiments are necessary to find answers to these and other questions concerning the referred metabolic pathways and cycles in oligodendrocytes.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Clients across Hunter New England Area Health Service (HNEAHS) with complex diabetes foot complications traditionally had to travel to Newcastle to access multidisciplinary high risk foot services; with some travelling up to five hours each way to attend the High Risk Foot Clinic in Newcastle. Ideally rural clients should be able to access multidisciplinary high risk foot services close to their home.A six-month pilot Telehealth High Risk Foot Clinic was established between Newcastle and Tamworth, with clinicians in Newcastle providing Telehealth multidisciplinary input for clients attending the Tamworth Podiatry Clinic.Over the six month pilot phase (February \u2013 August 2010) a total of eight clients were seen through the HNEAHS Telehealth High Risk Foot Clinic; seven presented with foot wounds and one presented with an acute Charcot Neuroarthropathy. Two clients (25%) refused gold standard treatment; one was subsequently discharged from the High Risk Foot Clinic and the other did not return for follow-up treatment. Of the remaining six clients, four (75%) achieved successful resolution of their presenting complaint. Clients surveyed in the evaluation phase indicated that they would prefer to attend the Telehealth clinic at Tamworth as it is closer to home, meaning less travel time and expense as well as reducing the impact on their work and/or family commitments. None of the clients felt unsatisfied in any way about the Telehealth model and all felt very satisfied by the impact that the clinic made on their quality of life. A cost analysis of the pilot model showed that this type of service is of cost benefit and has the potential to prevent lower limb amputations in high risk clients residing in rural areas.The pilot clinic resulted in many positive benefits to high risk foot clients living in rural areas. Good clinical outcomes were achieved, the client\u2019s quality of life was improved and cost benefits were attained. Also of note, were the strong relationships that were formed between Newcastle and Tamworth; resulting in rural clinicians being empowered with knowledge of the management of the high risk foot."}
+{"text": "Patients with Complex Regional Pain Syndrome (CRPS) experience distressing changes in body perception. However representing body perception is a challenge. A digital media tool for communicating body perception disturbances was developed. A proof of concept study evaluating the acceptability of the application for patients to communicate their body perception is reported in this methods paper. Thirteen CRPS participants admitted to a 2-week inpatient rehabilitation program used the application in a consultation with a research nurse. Audio recordings were made of the process and a structured questionnaire was administered to capture experiences of using the tool. Participants produced powerful images of disturbances in their body perception. All reported the tool acceptable for communicating their body perception. Participants described the positive impact of now seeing an image they had previously only imagined and could now convey to others. The application has provided a novel way for communicating perceptions that are otherwise difficult to convey. Changes in body perception can occur following peripheral injuries, or central nervous system damage the ability of the body perception tool to represent participant\u2019s experience, (ii) their reactions to using the tool, (iii) limitations and aspects for refinement.Reflecting the CRPS population, participants were predominantly female 10 female). Ages ranged from 24 to 64\u2009years (median 54), and CRPS duration ranged from 6\u2009months to 7\u2009years (median 14\u2009months). Ten had an upper limb affected and three a lower limb (one participant had both upper and lower leg on one side affected). The characteristics of each participant are listed in Table 0 female.The participants produced powerful images of the disturbances in body perception they experienced. Some examples supported with quotes of participants\u2019 verbal descriptions are given in Figure Alterations in scaling were common with participants feeling that limb parts were either larger or smaller than normal and these perceptions were illustrated on the computer model in many cases. This was because he wanted responses first hand and initially it was to help train the nurse in using the tool. This lack of independence in the evaluation could have led participants to be more positive about the application than they might otherwise have been. However both the nurse and the software developer stressed their desire for the participant\u2019s honest opinions in order to establish the acceptability of the body perception application to patients and for identifying aspects that needed to be changed.Areas for improvement to the application were identified, for example animation of perceived involuntary movements and creating more sophisticated depictions of sensation. However future use of the application needs to be considered before adding greater levels of detail and complexity. With increasing use of telemedicine, future versions of the application could be made to enable the software to be used by patients independently of clinicians in their own homes over the internet. The participants tested seemed to like using the application with the nurse; perhaps because it was new to them and may have appeared complicated. One of the participants even expressed the view that she was likely to have been less honest if she had used it on her own. However with the increasing use of finger activated tablets development of the tool using touch screen operation that is intuitive and user-friendly is important for its future development. Manipulation using finger drags and taps to turn the avatar, enlarge and shrink parts, and drop on textures and color will need to be robust for use on these smaller screens. The operations will have to be easy to complete with the non-dominant hand, since in some individuals their condition will have affected dexterity in their preferred hand. Further careful evaluation of independent usability and comparison of results between methods of delivery will be needed to determine reliability.There is also further work to do in exploring the best form of the avatar for patients to represent their disturbed body perception. Previous research using body image morphing techniques with fit healthy people and with obese people has indicated that body perception is influenced by the form of the image presented (Stewart et al., Further development and evaluation is in progress to determine the use of the body perception application with people with stroke. A significant prevalence of phantom limb in the form of postural illusions of limb position has been found in people with stroke (Antoniello et al., Since there is potential to \u201crepair\u201d distressing body perception using rehabilitation interventions (Flor et al., Another potential function of the body perception application is to quantify changes in predominant features in response to treatment. Other investigators have taken measurements of scaling from photo software. Vector deviations of image manipulations of a patient\u2019s representation, relative to a reference photograph, were obtained to measure perceived size changes of one side of his face (Rode et al., This proof of principle study has shown that the body perception tool provides a powerful vehicle for communicating and representing changes in body perception.We envisage that this tool could extend beyond being a very useful communication device between patients and clinicians and also become a meaningful process measure and an interactive tool for intervention.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "DNA barcoding generates a unique identification tag for individual species based on the sequence of a short stretch of DNA. For this study we evaluated the potential of DNA barcoding methods for identification of medicinal plants using examples from the Lower Rio Grande Valley border region in Texas. Many plants that enter the supply chain are not evaluated for correct identification and better and faster methods are needed for identification of fragmented samples.We sequenced several genomic regions, both nuclear and chloroplast, in order to assess variability and ability to identify highly fragmented plant material or otherwise incomplete specimens. Unidentified samples were compared with data available in Genbank and with an extensive collection of known reference materials.We successfully used phylogenetic techniques for correct placement of the unidentified samples and potential applications for this method are discussed. We compare this method with the Genbank-BLAST search technique that is widely used for sequence matching.In conclusion, DNA barcoding can be effectively used as an identification method for medicinal plant preparations that allows fast and efficient control for distributors, provides information to customers, and, in case of a poisoning accident, might aide in determining correct treatment and countermeasures. Our studies also showed that comprehensive databases for reference materials need to be carefully assembled and curated to provide reliable information for comparisons. Currently existing databases do not fulfill this requirement leading to potential misidentifications."}
+{"text": "Most studies have analyzed the factors affecting paternity insurance and dominance tenure separately. We use a long term data set on Alpine marmots to investigate the effect of the number of subordinate males on both paternity insurance and tenure of dominant males. We show that individuals which are unable to monopolize reproduction in their family groups in the presence of many subordinate males are likely to lose dominance the following year. We also report that dominant males lose body mass in the year they lose both paternity and dominance. Our results suggest that controlling many subordinate males is energetically costly for dominant males, and those unable to support this cost lose the control over both reproduction and dominance. A large number of subordinate males in social groups is therefore costly for dominant males in terms of fitness.Paternity insurance and dominance tenure length are two important components of male reproductive success, particularly in species where reproduction is highly skewed towards a few individuals. Identifying the factors affecting these two components is crucial to better understand the pattern of variation in reproductive success among males. In social species, the social context ( The number of offspring sired per year and the length of reproductive life are two major components of lifetime reproductive success The social context which dominant males have to cope with may be a key element of reproductive success. Subordinates within and outside the social unit compete with dominants both to reproduce and to reach dominance Suricata suricattaPapio cynocephalusMarmota marmotaMandrillus sphinxi.e. few subordinates), while males facing highly competitive situations (i.e. a large number of subordinates) should be unable to insure paternity and should lose their dominant status rapidly. In other words, the males which lose control over reproduction, due to challenging social conditions, will also lose dominance in their social group rather rapidly.To date, most studies have analyzed factors affecting paternity insurance and dominance tenure separately. As expected, dominants do lose paternity when they are confronted by a large number of subordinate males, for example in meerkats The mechanisms by which the number of subordinate males reduces the ability of the dominant male to secure paternity and to maintain dominance are not well understood. One possible explanation is that it may be energetically costly for dominant males to control potential competitors present in the social unit The Alpine marmot is a mammalian cooperative breeder, socially monogamous, which lives in family groups of 2 to 14 individuals comprising a dominant reproductive pair, mature and immature subordinates of both sexes and pups of the year Here we use a 18-year data set to (1) examine the effect of the number of potential competitors on the probability of losing both paternity and dominance in the male Alpine marmot; (2) test the prediction that males unable to monopolize reproduction are also unable to maintain their dominant status over time. We examine whether the probability of losing dominance is correlated positively with the occurrence of extra pair paternity (EPP) in the previous reproductive event. Finally, we attempt to identify the underlying mechanisms by investigating the link between the number of subordinates and the body mass of the dominant animals. We thus (3) test the prediction that the number of potential competitors influences dominants' body mass; and (4) examine whether the dominant male body mass influences its probability of losing dominance.Both the probability of maintaining dominance and the The likelihood that the dominant male would lose its dominance is multiplied by 2.16 [CI95%: 1.23\u20133.79] when an EPP occurred at the previous reproductive event declines . A male with a large number of male subordinates is in lower body condition and may consequently be more likely to lose paternity and then dominance.How do social factors affect the ability of dominant males to monopolize reproduction and secure dominance? One explanation is that it is simply impossible for dominant males to control each of numerous subordinates with fighting abilities We suggest that the general process by which the number of subordinates imposes costs on the dominants is that controlling many subordinate males leads to an energetic cost for these males, and this leads to losing body reserves. This mass loss may in turn lower their capacity to guard their mate effectively, thus allowing other males to gain extra-pair paternity and lowering the dominant male's ability to win contests for dominance. The cost generated by the presence of competitors in social groups may counterbalance the benefits provided by social living Pr\u00e9fecture de la Savoie. Sophie Lardy is authorized for experimentation with animals, issued by the French Ministry of Agriculture and Fisheries (diploma n/0ETRY20090520). French law does not demand approval by an ethical committee.The field work conducted in the Alpine marmots was undertaken after acceptance of the project by the scientific committee of the Vanoise National Park, and after the deliverance of the permit number AP n 2010/121 by the Alpine marmots are cooperatively breeding rodents which live in family groups where only the dominant pair reproduces, as a rule. Both males and females may stay as dominants on the same territory for several years , until they die or get evicted by a competitor. Eviction is generally followed by death, for dominants of both sexes Taraxacum densleonis). Once captured, the animals were tranquilized with Zol\u00e9til 100 were used thereafter. An additional correction for body size did not change the results, so we present only the results with RBM. The influence of RBM on the probability of losing dominance was investigated first. Generalized mixed models (GLMM) with male identity within territory as random factors, a logit link function and a binomial error distribution were used to account for repeated measures and for the binomial distribution of the dependent variable. To verify that the effect of the number of subordinates on male RBM was not an effect of resource limitation due to high densities of individuals in the territories, the effect of the number of subordinates on dominant female RBM was also studied with the same procedure as the one used for males. The RBM of males staying dominant was then compared to the RBM of males losing dominance using linear mixed models with male identity within territory as random factors to account for repeated measures. Finally we compared the RBM of a male (Statistical analyses were performed with R 2.10.1"}
+{"text": "The organization of networks of interacting species, such as plants and animals engaged in mutualisms, strongly influences the ecology and evolution of partner communities. Habitat fragmentation is a globally pervasive form of spatial heterogeneity that could profoundly impact the structure of mutualist networks. This is particularly true for biodiversity-rich tropical ecosystems, where the majority of plant species depend on mutualisms with animals and it is thought that changes in the structure of mutualist networks could lead to cascades of extinctions.We evaluated effects of fragmentation on mutualistic networks by calculating metrics of network structure for ant-plant networks in continuous Amazonian forests with those in forest fragments. We hypothesized that networks in fragments would have fewer species and higher connectance, but equal nestedness and resilience compared to forest networks. Only one of the nine metrics we compared differed between continuous forest and forest fragments, indicating that networks were resistant to the biotic and abiotic changes that accompany fragmentation. This is partially the result of the loss of only specialist species with one connection that were lost in forest fragments.We found that the networks of ant-plant mutualists in twenty-five year old fragments are similar to those in continuous forest, suggesting these interactions are resistant to the detrimental changes associated with habitat fragmentation, at least in landscapes that are a mosaic of fragments, regenerating forests, and pastures. However, ant-plant mutualistic networks may have several properties that may promote their persistence in fragmented landscapes. Proactive identification of key mutualist partners may be necessary to focus conservation efforts on the interactions that insure the integrity of network structure and the ecosystems services networks provide. While there is much to be learned about the dynamics of mutualisms from the study of pair-wise interactions et al.et al.Despite these advances, however, most studies of mutualist networks fail to consider the complexity of the landscape in which these communities are embedded Mutualisms between ants and specialized plants known as myrmecophytes are a defining feature of tropical forests We evaluated the effect of habitat fragmentation on the structure of mutualistic networks using the community of ant-plant partners found in an experimentally fragmented landscape in the central Amazon. By comparing these networks in continuous forest sites with those in forest fragments, we provide the first empirical test of the effects of habitat fragmentation on network structure that have been put forward in prior theoretical and empirical work. To do so, we begin by comparing the diversity of ants and plants in fragments and continuous forest. Because species diversity of both plants and animals decreases in tropical forest fragments All necessary permits were obtained for the described field studies. All research was conducted with the approval of Brazil's National Council of Scientific and Technological Development and the Brazilian Institute of Environment and Renewable Natural Resources .et al.We conducted our study in the lowland tropical forests of Brazil's Biological Dynamics of Forest Fragments Project . From October 2001 to February 2002, we conducted surveys of the comprehensively described ant-plant mutualist community Azteca species as a single taxon because of unresolved taxonomy of this group. We also pooled all Pouruma (Cecropiaceae) into a single taxon because of the difficulty in classifying individuals to species with floral characters and no individuals were fertile during our surveys. Finally, difficulty in distinguishing among juvenile Tachigali trees led us to exclude smaller individuals found in two CF plots and two FF plots , although all adult trees were readily identified.In each of our eight study sites we established a 100 m\u00d7100 m plot in which we mapped all ant-plants and recorded the presence and identity of ant colonies in their domatia; vouchers of plants and ants were collected to confirm identifications. Here we analyze the network connections between the 12 myrmecophytes we recorded in our surveys and the 10 obligate ant species associated with them reported in Hypotheses about network structure can be addressed using both qualitative and quantitative approaches. Qualitative metrics are calculated from binary interaction matrices while quantitative metrics include information on the frequency of individual interactions. Qualitative metrics are still commonly used to study networks, and hence they are useful for comparing the results of our work with those of other studies. However, the frequency of an interaction between species is an important measure of its strength and hence importance To determine if ant and plant species richness was lower in fragments (Hypothesis 1), we compared the number of ant and plant species in the networks. We then tested whether there were fewer realized interactions between ants and plants in fragments by comparing the number of links per species, network connectance , and linkage density (quantitative) for each treatment with separate one-way ANOVAs. Because there is the potential for correlation among different metrics of network structure et al.Finally, to test if networks in fragments and continuous forest were equally resilient to disturbance (Hypothesis 4) we calculated the network robustness (R) to simulated extinction of ant or plant species . The quaWe censused N\u200a=\u200a322 myrmecophytic plants in forest fragments and N\u200a=\u200a653 in continuous forest; for a detailed description of these results see We found that networks in continuous forest had significantly more plant species than networks in forest fragments were associated with only one ant species in continuous forest sites. Such associations formed isolated subwebs, which are common in symbiotic interaction networks It is also important to emphasize that ant-plant mutualistic networks have several unique properties that may promote their persistence in fragmented landscapes. Nested mutualistic networks are expected to be resilient to species losses if extinctions involve specialists that are involved in fewer interactions within the network In general, it appears that the resilience of mutualistic networks is enhanced by higher species richness, network connectivity, and through strong, symmetric interaction within highly nested networks Although our study was not designed to compare within-habitat variation in the structure of networks, it appears that replicates within a single habitat class were often quite variable. Within habitat heterogeneity is hypothesized to have a major influence on network topology Azteca remains challenging and has yet to be fully resolved for our study sites Azteca species in a single taxon for our analyses. Our ongoing molecular analyses are attempting to determine the number of Azteca species colonizing myrmecophytes, and including multiple Azteca species species will clearly alter the structure of networks. However, the overall conclusion that networks are similar in forest fragments and continuous forests will likely remain unchanged \u2013 with the exception of Cordia nodosa, plant species colonized by Azteca are relatively rare Three important caveats to our results bear consideration. First, the taxonomies of the ant genus Allomerus octoarticulatus and Hirtella myrmecophila in our network), it may be possible to focus conservation efforts on those species in addition to the more commonly targeted rare or endemic ones as a means of ensuring the integrity of network structure and ecosystem services these networks provide We conclude that the redundancy built into mutualistic networks and the limited number of 1\u22361 interactions in tropical ant-plant systems makes these networks inherently resistant to the effects of fragmentation, at least in the short term Table S1Tables for one-way ANOVAs of nine network metrics. The metric with a significant p-value is in bold.(DOC)Click here for additional data file."}
+{"text": "PLoS Computational Biology we have tried to support this evolution through a collection of educational articles pertinent to the undergraduate level and beyond. It is only natural that we would take the next step Bioinformatics is now an integral part of biology and biological research. The field began with a few people from other disciplines teaching themselves and each other the techniques that are now considered commonplace. These pioneers then began graduate programs We now introduce a subsection of the Education section with articles devoted to teaching bioinformatics in secondary schools that is derived from the work of the Education committee of the International Society for Computational Biology (ISCB), who identified a need to address the issue of incorporating bioinformatics into secondary school biology classes. They also recognized the interest among researchers to build and participate in outreach programs at the secondary school level given that many funding agencies worldwide encourage such a component in grant applications.To move the ball forward on secondary school bioinformatics education, at ISCB's 2010 international conference, Intelligent Systems in Molecular Biology (ISMB), the ISCB Education committee organized a half-day tutorial aimed at secondary school biology and chemistry teachers in the Boston area interested in learning about bioinformatics and how to include it in their curricula. The tutorial also attracted researchers involved in organizing or formulating outreach programs in their community. The main focus of the ISMB tutorial was the presentation of lesson plans by a secondary school teacher who has successfully incorporated bioinformatics into his courses for more than five years. His is one example of such an effort and is embraced in the Ten Simple Rules and its supplementary material found in this issue. Also in this issue we have an article by Suzanne Gallagher and colleagues on the experience of teaching secondary school level bioinformatics in Boulder, Colorado.There are many examples of outreach efforts to high school students that we would like to feature in coming months, which incorporate bioinformatics into their programs see .Briefings in Bioinformatics was dedicated to bioinformatics education There are many other examples of educators doing similar work in school districts worldwide. A recent issue of We encourage feedback of any form, including comments on this editorial, and hearing about your experience teaching bioinformatics to secondary school students."}
+{"text": "There is a significant body of research indicating having a genetic condition is emotionally burdensome for the individual and their family. One goal of cancer genetic counselling is to assist patients to adapt to the news that they and family members are at significantly increased risk of developing cancer. Numerous studies have shown that the majority of patients who attend cancer genetic services do not report significantly increased long-term psychological distress. However, a small number of patients present with pre-existing complex psychological issues or particular personality traits which are not readily apparent. This subgroup of individuals may experience adverse psychological responses and complex adjustment challenges following their participation in the genetic counselling process."}
+{"text": "Optimizing Delivery of Health care Interventions (ODHIN) is an ongoing European project involving research institutions from 9 European countries using the implementation of Early Identification and Brief Intervention (EIBI) programmes for Hazardous and Harmful Alcohol Consumption (HHAC) in Primary Health Care (PHC) as a case study to better understand how to translate the results of clinical research into everyday practice. The Italian National Health Service (ISS) is the project leader of the Work Package 6 assessment tool. The aim of the ODHIN assessment tool is to formalise, operationalise and test the questionnaire developed under the PHEPA project in order to produce an update instrument to assess the extent of implementation of EIBIs for HHAC throughout PHC settings. The ODHIN assessment tool has been conceived as a semi-structured questionnaire for the identification of the state of the art, gaps and areas in the country that need further work and strengthening; to monitor the adequacy of brief intervention programmes for HHAC in order to provide recommendations to improve and optimize delivery of health care interventions. It analyses 24 questions distributed across 7 key sections. Data have been collected from 9 ODHIN collaborating countries and from other 14 European countries who have agreed to share their national experience with the ODHIN partners . Preliminary data on the state of the art of the implementation and the extent of EIBI for HHAC throughout PHC settings across 23 European participating countries will be presented. Identified areas where services require development or strengthening across the participating countries as well as examples of good practices between countries will be also discussed."}
+{"text": "PLoS Medicine editors discuss new research studies on the risks associated with mode of childbirth following caesarean section.The PLoS Medicine publishes two research articles with new data that should help women and clinicians make better informed decisions about childbirth This month, planned, as opposed to actual, birth mode, which therefore helps clinicians to counsel women on the outcomes associated with their choice.One study The second study this birth, but for subsequent births too. For example, as highlighted by Crowther and colleagues The bigger issue raised by these findings relates to how clinicians and women can work together to make the best possible decision when so many questions remain unanswered. The existing research presents an incomplete picture of the entire set of possible risks associated with the options that women and clinicians have; under-studied issues relate to the implications not just for"}
+{"text": "Identification of prognostic and predictive biomarkers is important for targeting treatments to patients and for the design and analysis of randomised controlled trials. Cox proportional hazards modelling is a standard method for assessing prognostic value of clinical biomarkers where time to occurrence of an event is the primary outcome of interest. An important issue in the analysis of prognostic factors is the functional form of the relationship between the factor and outcome specifically for continuous covariates. Continuous covariates are often simplified assuming a linear relationship with log-hazard or dichotomisation which may be inappropriate leading to loss of efficiency in statistical tests, bias and incorrect conclusions. The effects of important prognostic biomarkers may go unrecognised due to simplistic assumptions made in statistical modelling.Two polynomial based strategies, restricted cubic splines and fractional polynomials, are compared directly for determining the functional form of non-linear relationships between prognostic biomarkers and survival using two real datasets from randomised controlled trials in advanced pancreatic cancer and cardiac surgery. Fractional polynomials are an extended family of curves including non-integer and negative power terms. Spline functions are piecewise polynomials connected across intervals of a variable constrained to meet at the \u2018knots\u2019.Multivariable models were constructed based on Cox proportional hazards regression using backward elimination. Internal validation to directly compare the fit of the restricted cubic spline and fractional polynomial strategies was carried out by calculating the sampling distribution of the difference in AIC between the models using nonparametric bootstrap analyses. Further analysis recalculated the univariate fractional polynomial transformation within each bootstrap resample to compare directly against a 5-knot restricted cubic spline. The influence of the size of the bootstrap samples was also investigated.The fitted functions generated by splines and fractional polynomials were similar resulting in comparable models. The methods are generally different in the extremities where there is often a paucity of data. Larger differences were seen between the two methods when sample sizes were reduced due to the reduced power to detect small effects but also to detect nonlinearity.Multivariable fractional polynomial transformations are an alternative approach to restricted cubic spline transformations for multivariable model building of continuous biomarkers with non-linear relationships with outcome."}
+{"text": "This research is concerned with the mixed convection peristaltic flow of nanofluid in an inclined asymmetric channel. The fluid is conducting in the presence of inclined magnetic field. The governing equations are modelled. Peristaltic motion is now an important research topic due to its immense applications in engineering and physiology. This type of rhythmic contraction is the basis of peristaltic pumps that move fluids through tubes without direct contact with pump components. This is a particular advantage in biological/medical applications where the pumped material need not to contact any surface except the interior of the tube. The word \u201cperistalsis\u201d comes from a Greek word \u201cPeristaltikos\u201dwhich means clasping and compressing. The peristaltic flow has specific involvement in the transport of urine from kidney to the bladder, chyme movement in gastrointestinal tract, movement of ovum in the female fallopian tubes, blood circulation in the small blood vessels, roller and finger pumps, sanitary fluid transport and many others. Latham Heat transfer in cooling processes is quite popular area of research in industry and medical science. Conventional methods for increasing cooling rates include the extended surfaces such as fins and enhancing flow rates. These conventional methods have their own limitations such as undesirable increase in the thermal management system's size and increasing pumping power respectively. The thermal conductivity characteristics of ordinary heat transfer fluids like oil, water and ethylene glycol mixture are not adequate to meet today's requirements. The thermal conductivity of these fluids have key role in heat transfer coefficient between the heat transfer medium and heat transfer surface. Hence many techniques have been proposed for improvement in thermal conductivity of ordinary fluids by suspending nano particles in liquids. The term \u201cnano\u201d introduced by Choi The aim of present study is to venture further in the regime of peristalsis for fluids with nanoparticles. Therefore we examine here the mixed convective peristaltic transport of nanofluid in an inclined asymmetric channel in the presence of inclined magnetic field. Channel asymmetry is produced by peristaltic waves of different amplitude and phases. Mathematical modelling involves the consideration of Brownian motion and thermophorsis effects. Numerical solution of nonlinear problem is obtained using shooting method. Limiting case for nanofluid in symmetric channel is also analyzed. Detailed analysis for the quantities of interest is seen.0 only. Let We consider mixed convective viscous nanofluid in an inclined asymmetric channel of width g the acceleration due to gravity, T the temperature, The equations governing the flow under consideration areThe transformations between fixed and wave frames are defined as follows:We now introduceF in the wave frame is related to the dimensionless time mean flow rate Employing transformation (8), dimensionless variables (9) and long wavelength and low Reynolds number u), temperature (Our main interest in this section is to examine the velocity (This subsection illustrates the behavior of emerging parameters u is decreasing function of M near the upper half of channel. The variations of Effect of heat transfer on peristalsis is shown in the Influence of mass transfer on peristalsis is shown in the Trapping phenomenon is shown in A detailed analysis is presented for magnetohydrodynamic peristaltic transport of nanofluid in an inclined asymmetric channel with heat and mass transfer. Numerical simulation is utilized for solution analysis. The critical cases from asymmetric to symmetric channel ("}
+{"text": "Understanding how the brain implements social behavior on one hand, and how social processes feedback on the brain to promote fine-tuning of behavioral output according to changes in the social environment is a major challenge in contemporary neuroscience. A critical step to take this challenge successfully is finding the appropriate level of analysis when relating social to biological phenomena. Given the enormous complexity of both the neural networks of the brain and social systems, the use of a cognitive level of analysis (in an information processing perspective) is proposed here as an explanatory interface between brain and behavior. A conceptual framework for a cognitive approach to comparative social neuroscience is proposed, consisting of the following steps to be taken across different species with varying social systems: (1) identification of the functional building blocks of social skills; (2) identification of the cognitive mechanisms underlying the previously identified social skills; and (3) mapping these information processing mechanisms onto the brain. Teleost fish are presented here as a group of choice to develop this approach, given the diversity of social systems present in closely related species that allows for planned phylogenetic comparisons, and the availability of neurogenetic tools that allows the visualization and manipulation of selected neural circuits in model species such as the zebrafish. Finally, the state-of-the art of zebrafish social cognition and of the tools available to map social cognitive abilities to neural circuits in zebrafish are reviewed. In social species animals interact frequently with their conspecifics and have to adjust the expression of their social behavior according to previous social experience and to social context. This behavioral flexibility in the social domain differ from those involved in the interactions of the organism with its physical environment, and therefore the term social cognition has been created to refer specifically to cognitive processes involved in social interactions e.g., . Social In this paper, I propose a conceptual framework for comparative social neuroscience based on: (1) the identification of the functional building blocks of social behavior and the underlying cognitive mechanisms across different species with varying social systems, and (2) how these information processing mechanisms are inbuilt in the brain, which is viewed as an information processing organ. Following Krogh\u2019s principle, that \u201cfor many problems there is an animal on which it can be most conveniently studied\u201d , teleostTable 1 and Figure 1 for summary and selected examples in teleost fish, respectively).The first step of the conceptual framework proposed here is to identify the information processing problems posed by the social domain of the environment in order to identify the cognitive abilities underlying social skills. For instance, what are the mechanisms required for an individual to tolerate the presence of conspecifics, to recognized different classes of conspecifics and assess their behavior, to use public information available in social environments and to choose the appropriate responses from the available behavioral repertoire? Once we identify these building blocks of social competence we can investigate their phylogenetic distribution and how they map onto neural networks underlying behavior. The putative building blocks of social competence are identified and discussed below and salience (on a low to high continuum) to social agents , such thGiven the wide array of social signals conveyed in multiple sensory modalities it is postulated that a general appraisal mechanism that assesses the valence and salience of social stimuli across different sensory modalities and functional domains must operate. According to this view the evaluation of valence and salience of social information is not just a result of direct effects of perceptual information , but rather a function of what that perceptual information means to the organism at that moment in time and its reef fish clients, cleaners feed against their preference (ectoparasites instead clients\u2019 mucus) in order to secure the possibility for numerous future interactions . This behavioral synchronization and coordination of individuals within social groups has lead to the emergence of collective patterns that can be impressive, such as the aerial movements of bird flocks, or the spatial behavior of insect swarms, fish schools, ungulate herds, and even human crowds. In most of these cases complex collective patterns can be explained by individual decision-making rules and by the way information flows between group members . For exaMore complex social systems are predicted to impose a higher cognitive demand, hence recruiting quantitatively more resources of the abovementioned social skills or promoting qualitative progress of new social skills and sheep . Functional evidence for the presence of the social behavior network is difficult to obtain since it requires the simultaneous recording of neural activity in multiple brain regions. Given the difficulty of obtaining large-scale electrophysiological recordings indirect measures of neural activity, such as the expression of immediate early genes or the activity of cytochrome oxidase, in relation to the expression of different social behaviors, have been used to test this hypothesis. In recent years this type of studies has been accumulating evidence in favor of the social brain network hypothesis. In the African cichlid Astatotilapia burtoni subordinate males given the opportunity to rise in social rank show higher expression of immediate early genes in all nodes of the social behavior network when compared either to stable subordinate or dominant males (Anolis carolinensis) repeated exposure to video-playbacks of aggressive displays of conspecific males induced changes in functional connectivity within the network .A successful comparative research program in cognitive social neuroscience has two key requirements: (1) the possibility for cladistic research on the evolution of social behavior and cognition aiming to uncover how pre-existing cognitive modules may evolve quantitatively and how networks may be reconfigured leading to the emergence of qualitatively new solutions to adaptive problems; and (2) the possibility for reductionist research on the mapping of cognitive function into neural networks, which requires model organisms with appropriate social behavior and with an available \u201ctool box\u201d for the analysis of neural circuits. Therefore, the combination of comparative behavioral work on selected species in naturalistic settings covering the expected diversity in cognitive abilities with neuroethological research on a phylogenetically related model organism is a promising approach. Teleost fish fulfill both requirements and therefore they offer an excellent opportunity to fulfill such a research program on comparative cognitive social neuroscience.Labroides dimidiatus) on the context of cleaning mutualism for which neurobiological and genetic tools are becoming increasingly available. Among the current teleost model organisms zebrafish offers the best conditions for research in social neuroscience due to a combination of relevant social behavior with availability of relevant tools for studying brain function in relation to behavior.Zebrafish are highly social animals that live in groups with structured social relationships including shoaling, dominance hierarchies, and territoriality . FurtherThe sight of conspecifics has rewarding value in zebrafish and can be used as a reinforcer in an associative learning task . Given tAlthough conspecifics act as social rewards zebrafish are not equally attracted to all conspecifics, exhibiting shoaling preferences that emerge during the juvenile phase . These sAs mentioned before a prerequisite for individuals to express social preferences is the ability to recognize individuals or classes of individuals. Zebrafish use both visual and olfactory cues in social recognition. Studies on zebrafish reared in social isolation and on cross-reared intra-specific phenotypes showed that visually mediated species recognition is based on a mechanism of phenotype matching against a learned template early in life . OlfactiCognitive appraisal and cognitive bias are recent research areas that only now are starting to be explored in zebrafish. In our lab we have collected preliminary evidence suggesting that in dyadic agonistic interactions it is the perception that the individual has of the event rather than its objective structure that triggers the physiological and genomic responses differentially observed in winners and losers . These results are in accordance with previous work on cichlid fish that showed that ambiguous agonistic interactions between fish and their own image on a mirror failed to elicit the physiological responses observed in winners and losers of real opponent fights .So far the use of public information in zebrafish has been documented mainly in the context of response to aversive stimuli. A first suggestion of social learning in zebrafish comes from data showing that groups of zebrafish learn an avoidance response to an electric shock faster than single individuals . HoweverTemporal discounting has not been studied in fish so far. However, spatial discounting for social rewards has been recently demonstrated in guppies . Both tyDanio aequipinnatus). The average distance among zebrafish shoal mates is approximately of 20 cm, and it responds to environmental factors, increasing in the presence of food and predators to over 30 cm commonly used as a criterion for shoal membership in cyprinid species; er 30 cm . Consideer 30 cm , 2011. Aer 30 cm , only reer 30 cm , therefoOreochromis mossambicus: Lates calcarifer: A significant number of genetic and neuroanatomy tools and resources are becoming available for zebrafish, making it a tractable species to study brain behavior relationships. Detailed brain atlases are now available for adult zebrafish , and homThe functional study of neural circuits in zebrafish has benefited from the development of optogenetic and transgenic techniques that together allow the close monitoring of activity in neural networks and experimental gain and loss of function manipulations to assess causal relationships between specific neural patterns and specific behaviors . Imagingin vivo in the juvenile phase. On the other hand, the repertoire of social behavior is very limited in larvae, whose ethogram is limited to locomotor action patterns involved in swimming and in prey capture The creation of a common cognitive lexicon and taxonomy so that clear concepts are shared \u2013 the occurrence of complex social behaviors does not necessarily request complex cognitive abilities; therefore functionally similar cognitive abilities that rely on different underlying mechanisms should be recognized .(2)Poecilia reticulata) that had an impact on cognitive skills within two generations and easy to breed in the lab, can be successfully used in the future to address this question using experimental evolution paradigms, as suggested by a recent study on artificial selection for larger brains in guppies (erations .(3)The distributed nature of information processing in neural networks should be taken into account when trying to map cognitive processes onto brain activity; therefore comparative analyses should move beyond the comparison of brain sizes and focus on inter-specific convergence/divergence in functional connectivity in the social decision making neural network.In answering all these questions I foresee a relevant role for species that offer the possibility to integrate imaging of brain activity with relevant behavioral tasks, as is the case of zebrafish.The author declares that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Insect and sting allergy in immunocompetent populations. A comparison.Observation made in diferent subsets of population who had insect and sting allergy .1) Immunocompetent population in the developing world engaged in farming and related activities regularly exposed to all gradient of allergens like dust molds, dander, pets, etc and when they are exposed to insect and mosquito bites, bees and wasps stings even scorpion bites they suffer to a lesser extent.2) Immunocompromised population in the developed world far away from natural gradient of exposure of nearly all the allergens and when they are exposed to scorpion bite or bees and wasp stings there are reports of fatal reactions and even mosquito and insect bites causes serious wheal and flare reaction, this observation was made specially on the second generation of children from parents of Indian origin now living in USA and other affluent countries, where there is minimal exposure to all the allergens.Based on the observation made on nearly 2 lakh patients it was observed that there is a direct relationship of levels of exposure to all the natural allergens and the immunotolerance achieved by this natural exposure or natural immunotherapy.After above mentioned observations we reached to the conclusion that exposure to natural gradient of allergens, insect bites mosquito bites is troublesome for the immunocompromised populations who follow avoidance of exposure to allergens as a rule and this is a disaster for them there are many deaths reported due to the above mantioned exposure, at the same time the immunotolerant population which is exposed to all sorts of allergens insect bites mosquito bites bees and wasps stings suffers to a lesser extent."}
+{"text": "Medication adherence has a cumulative effect on people\u2019s health and wellbeing and reduces the reliance on health and social care services. This paper reviews the London Borough of Lambeth\u2019s assistive technology service, which is occupational therapy led and includes the use of electronic medication dispensers as part of innovative intervention in support of medication adherence.The paper gives an appraisal of the key-factors in the successful implementation of medication adherence aids in social care settings and is supported by observational records that originate in practice and by a review of the current evidence base for the use of assistive technologies in medicines management. Key factors include interdisciplinary working as well as having needs-led and outcome focussed services.In the current economic climate there is increased pressure on local government to deliver services more efficiently and cost-effectively. The paper examines several case studies, which demonstrate how the use of assistive technology can support medication adherence, resulting in cost savings and cost avoidances. A guiding framework with practical recommendations for best practice in implementing medication compliance aids in social care settings is then offered.There is a need for health and social care workers and others to engage with medication adherence more widely. There is a large and growing new variety of strategies, interventions, technologies and services available which have the potential to aid, facilitate and motivate clients to adhere to their prescribed medications. The paper gives an overview of their practical application and outcomes."}
+{"text": "The NHMRC Partnership Project \u201cEvidence based targeting of state wide strategies for preventing falls among community dwelling older people in Victoria\u201d is a five component project examining the uptake of falls prevention strategies to better understand issues that might impact on the health and well-being of older adults in our community. From this data, information regarding drivers of footwear selection was determined and that is the focus of this study.Cross-sectional population based telephone survey of 394 men and women 70 years and over living in the community in Victoria. The survey was conducted over December 2010 to January 2011 and in a second wave between January 2012 to March 2012. Questions were asked regarding footwear worn indoors and outdoors and the reasons for this selection.The choice of footwear worn indoors was overwhelmingly enclosed slippers with comfort as the reason for this selection. The outdoor footwear of choice was walking shoes with comfort once again the main driver for selection.Understanding footwear selection of the elderly may assist health care providers when recommending falls strategies for this at risk population."}
+{"text": "The Program for Disordered Eating run at Headspace Gold Coast is a new intervention developed in September 2012 in response to an identified unmet need for a service for young people with eating issues. This program aims to provide screening, assessment and early intervention for those who are suffering from disordered eating at a distressing level but who do not meet the criteria for local public health eating disorder services. Headspace is an ideal organisation as it targets young people between 12 and 25 and the two peak risk periods for the onset of eating disorders are early adolescence and late teens . Funded under ATAPS a young person can access 12 individual sessions and 12 groups per calendar year.The paper will present the background and rationale for the program, an outline of the evidence based approaches offered and the preliminary data gathered which demonstrates the effectiveness of the interventions.Disordered Eating \u2013 Characteristics & Treatment stream of the 2013 ANZAED Conference.This abstract was presented in the"}
+{"text": "Ontologies encode the knowledge of human experts in order to allow computers to automate common tasks in a domain. They are hierarchically organised and backed by computational logic which allows automated inferences of the implicit consequences of explicitly stated knowledge. ChEBI is a database and ontology of chemical entities of biological interest . Within"}
+{"text": "Numerous amperometric biosensors have been developed for the fast analysis of neurotoxic insecticides based on inhibition of cholinesterase (AChE). The analytical signal is quantified by the oxidation of the thiocholine that is produced enzymatically by the hydrolysis of the acetylthiocholine pseudosubstrate. The pseudosubstrate is a cation and it is associated with chloride or iodide as corresponding anion to form a salt. The iodide salt is cheaper, but it is electrochemically active and consequently more difficult to use in electrochemical analytical devices. We investigate the possibility of using acetylthiocholine iodide as pseudosubstrate for amperometric detection. Our investigation demonstrates that operational conditions for any amperometric biosensor that use acetylthiocholine iodide must be thoroughly optimized to avoid false analytical signals or a reduced sensitivity. The working overpotential determined for different screen-printed electrodes was: carbon-nanotubes (360 mV), platinum (560 mV), gold or cobalt phthalocyanine . It is interesting to note that this potentiometric method needs an electroactive compound in the solution [Acetylthiocholine iodide was used as substrate for biosensors based on AChE immobilized on platinum electrodes poised at 410 mV . A potensolution and, in 3.5.The difference between the potential of the oxidation peak of thiocholine at 110 mV and iodide at 675 mV is important and suggDifferent potentials were reported in literature for the quantification of the analytical signals of biosensors developed by the immobilization of AChE on electrodes modified with cobalt phthalocyanine when acetylthiocholine iodide was used as substrate. A wide oxidation peak attributed by the authors to the overlap of the peaks of unknown species was obtained by differential pulse voltammetry recorded from 100 to 1,000 mV. An oxidation peak attributed to the thiocholine with maximum at 370 mV with a height approximately equal with one third of the previous wide peak was obtained when the differential pulse voltammetry was carried out in a narrower potential range between 100 and 500 mV. The optimum potential for amperometric measurements chosen by authors was 370 mV, but the enzymatic inhibition may be determined between 300 and 400 mV . The thi3.6.The experiments described above are useful to predict the behavior of biosensors constructed by the immobilization of AChE on the surface of similar electrodes. Nevertheless, the electrode surface is modified in the case biosensors and in consequence the electrochemical propertied may be modified. We have verified our results using biosensors obtain by the immobilization of AChE by reticulation with glutaraldehyde on the surface of platinum and cobalt phthalocyanine screen-printed electrodes and the analytical signals were recorded for the injection of 1 mM acetylthiocholine chloride and iodide, respectively. The biosensors based on platinum screen-printed electrodes were tested at 560 mV and 700 mV. The response measured at 560 mV was 132 nA for both chloride and iodide substrates. The response obtained at 700 mV was 531 nA using acetylthiocholine iodide much higher in comparison with 148 nA that were recorded for acetylthiocholine chloride. The immobilized enzyme was completely denatured by incubation for 3 min in a 1:1 water-methanol solution and the residual response was recorded in order to test the interferences. At 560 mV it was not measured any significant signal for the injection of both chloride and iodide, but at 700 mV the response measured for acetylthiocholine iodide is 389 nA while for acetylthiocholine iodide the signal is still insignificant. For the biosensors based on cobalt phthalocyanine screen-printed electrodes it was obtained at 110 mV an analytical signal of 156 nA for acetylthiocholine chloride that is statistically higher than 118 nA recorded for acetylthiocholine chloride. All these results confirm the conclusions reached using bare electrodes, but tests with chloride and iodide substrate must be carried out for every particular developed biosensor in order to avoid false signals.4.Our study demonstrates that it is possible to use acetylthiocholine iodide as pseudosubstrate for the quantification of the analytical signals of amperometric biosensors based on AChE only after a careful investigation of the electrochemical behavior of the electrode towards thiocholine in the presence of iodide. Iodide anions may interfere with the measurements in two different ways: (i) by the modification of the measurement sensibility of the thiocholine and/or (ii) by producing false analytical signal due to the oxidation. The influence of the iodide on the measurements and optimum potential must be determined experimentally for every developed biosensor because each layer deposed on the electrode surface modifies the overall electrochemical behavior."}
+{"text": "Plasmodium falciparum on the north coast of PNG are genetically isolated. If this fragmented population structure is found throughout PNG it will provide a unique opportunity for planning malaria control strategies and focusing efforts on regions where they are likely to have the greatest impact. We are working towards defining a high-resolution population genomic map of parasite networks and migration patterns throughout PNG using single nucleotide polymorphisms. Our approach, preliminary data and the practical implications of this research will be discussed in context with the national malaria control program.Malaria is being controlled in Papua New Guinea (PNG) where the epidemiology of the disease ranges from highly endemic in low-lying regions to epidemics in the highlands. Analyses of microsatellite haplotypes have revealed that populations of"}
+{"text": "BRCA1 make a significant contribution to the molecular pathology of familial breast and ovarian cancer and are potentially detectable by the CGH or SNP microarrays in common use.The use of microarray based molecular karyotyping for diagnostic testing is now common in clinical practice. A feature of this technology is an increased capacity to uncover genetic abnormalities unrelated to the original indication for the test. These incidental findings can involve the unexpected diagnosis of well recognised Mendelian genetic disorders through the rearrangement of a known disease genes. Large scale genomic rearrangements of BRCA1 gene locus. Analysis showed that the copy number variant resulted in the deletion of exons 2-17 and would be classified as a pathogenic mutation. Following discussion with a clinical geneticist the result was reported to the family by the pediatrician who facilitated their referral them to a familial cancer centre for further discussion.We describe the case of a 5 year old boy seen at the Peter MacCallum Familial Cancer Centre. The index case and his twin brother originally presented to their pediatrician for investigation of a history of an autistic spectrum disorder and a molecular karyotype was ordered. This array revealed an unexpected finding of a deletion on chromosome 17q21 involving the A detailed pedigree revealed no significant cancer history with only a single case of breast cancer in the wider family. The parents of the index described being surprised by the result but grateful for the information. Both parents elected to proceed with predictive testing to clarify the origin of the mutation and the potential cancer risks for them and their family in the future.The rapid expansion of genetic testing capacity through new technologies such as microarray testing or next-Generation-Sequencing are certain to be associated with increasing numbers of unexpected findings including familial cancer syndromes. Although an approach to this type of finding needs to be developed, the current case demonstrates that whilst unanticipated, this information can be welcomed by families."}
+{"text": "Our findings regarding the Breast Cancer and Environment Research Centers (BCERCs) in which Wolff and Barlow are involved represent a broad overview of all four centers and are meant to portray several dimensions of the collaborative aspects of the work. In our article , we aimeThe findings reported in our article show a nOur analysis does notOur research providedOur article and reco"}
+{"text": "Endogenous opioid peptides have been aligned with a diverse array of effects. Their activity is not only attributable to action the three main opioid receptors, mu (MOR), delta (DOR), and kappa (KOR) opioid receptors but their impacts appear to extend to activities at sodium channels, cytokine receptors is one of the most prominent and is the prototypical endogenous peptide for the MOR class of opioid receptors and is found within the CNS and the immune system are effective inhibitors for DPP IV, albeit di-isopropyl fluorophosphate has been shown to induce compensatory anticholinesterase activity producing tremors due to its irreversible nature. Spinorphin (Sacerdote and Panerai, The search for the sites of action for the non-opioid effects of endogenous opioids has been largely focused on the immune system (Rittner et al., Increasing our understanding of the role of beta-endorphin and its biotransformation fragments provides an insight into the complexity of the endogenous opioid system. The current analgesics are targeted at the modulation of analgesia by directly binding to one or more of the opioid receptors, with the analgesic being predominantly designed as a MOP agonist. The above observations would suggest that this is solely one aspect of opioid pharmacology, albeit one that has been explored widely and utilized in therapy. Biotransformation is a process that produces an array of compounds having a plethora of specific actions which contribute to the body's and its biological systems response to disease or injury. Future therapeutic strategies should consider such actions in designing better treatments or disease modulators."}
+{"text": "We are describing a simple and innovative way of documenting tachycardia. This patient came with video recording of neck pulsation done with the help of mobile phone camera. No other documentation of this tachycardia was available as patient was living in a remote area away from even basic health facilities. It was during one of those bedside clinics, when one of my professors taught us that Wenckebach block was first diagnosed by Dr Karel F. Wenckebach in 1899 by observing jugular venous pulsation [In a country like India, where mobile phone industry has grown tremendously and made inroads into every nook and corners of the country, this kind of indigenous telemedicine is certainly a small filler in the big lacuna of health care."}
+{"text": "A descriptive embedded multiple case study research design is planned to provide an intense focus on a single phenomenon (the audit cycle) within its real life context . The measures to be included in the case study have been identified by the Balanced Patient Safety Measurement Framework. These include: audit and peer review activity, provider attitudes to patient safety, safety learning, action and performance. A purposive sample of 6 to 8 surgeons from 3 to 4 specialities (cases) will undergo semi-structured interview. This will investigate: current audit tools and processes; attitudes; and behaviours of surgeons to the audit cycle. Similarities in and differences between the units of analysis will indicate which identified measures function as barriers or enablers of the audit cycle. Reliability and validity will be assessed using established methods for case studies. The descriptive embedded multiple case study will reveal how and why foot and ankle surgeons participate in the audit cycle. This will inform further research to improve the outcomes of foot and ankle surgery through development of an audit tool.The direct costs of managing adverse outcomes from Australian health care are estimated to be $2 billion. The audit cycle is considered an important tool to assist in the preventive management of adverse outcomes.Australian guidelines for audit cycle design allow for comparison of data sets derived from similar surgical specialities. However a lack of data set standardisation inhibits meaningful comparisons of foot and ankle surgical audits. This research will assist development of a best practice model for auditing foot and ankle surgery. Data derived from this model will improve the safety and quality of foot and ankle surgery. The preliminary phase of this process is to identify and understand the attitudes and behaviours of"}
+{"text": "The regulation of metabolism in fed and fasted states is governed by hormonal and nutrient-derived signals that are mediated in part by nuclear receptors. Just as insulin and glucagon help the body store and mobilize energy through their membrane receptors, nutrient-derived lipids activate their cognate nuclear receptors to govern transcriptional programs involved in energy storage and utilization during times of nutrient excess and privation. Recent work has revealed that many of the actions of these nuclear receptors are mediated by two atypical fibroblast growth factors (FGF19 and FGF21) that function as endocrine-like hormones. The characterization of these pathways in normal and metabolic disease animal models has led to an understanding of their physiologic and pharmacologic mechanism of action."}
+{"text": "Portal vein thrombosis (PVT) not associated with hepatocellular carcinoma is considered a frequent complication of liver cirrhosis but, unlike PVT occurring in non-cirrhotic patients, very few data are available on its natural history and management. The reduced portal blood flow velocity is the main determinant of PVT but, as in other venous thromboses, multiple factors local and systemic, inherited or acquired often can concur with. PVT has a variety of clinical presentations ranging from asymptomatic to life-threatening diseases like gastroesophageal bleeding or acute intestinal ischemia. It is usually diagnosed by Doppler ultrasound but computed tomography and magnetic resonance imaging are useful to study the extent of thrombosis and the involvement of the abdominal organs. The risk of bleeding mainly determined by the presence of gastroesophageal varices and clotting alterations causes concern for the treatment of PVT in cirrhotic patients. To date, anticoagulant therapy seems to be indicated only in patients awaiting liver transplantation. This review focuses on the definition of the subgroups of patients with cirrhosis that might benefit from treatment of PVT and examines the pros and cons of the available treatments in terms of efficacy, monitoring and safety, providing also perspectives for future studies. Liver cirrhosis is the most frequent underlying disease in patients with non-neoplastic thrombosis occurring in the portal vein (PVT). In a large autopsy series of patients with PVT, neoplasia was present in 67%, cirrhosis in 28% and in only 5% of patients PVT was considered primitiveHepatocellular carcinoma (HCC) is the most frequent cause of PVT in cirrhosis, being present in up to 44% of casesThis review deals with PVT occurring in patients with liver cirrhosis without HCC focusing on the necessity and/or the opportunity of management of this specific complication of liver disease.The occurrence of PVT in cirrhotic patients has been increasingly reported in recent years. This stems from the different procedures utilized for diagnosis and the different settings of cirrhotic patients studied. The presence of PVT was 0.6% when evaluated by old angiographic studiesMoreover, the prevalence of PVT increases with the age and severity of liver disease reaching 15% in patients awaiting liver transplantationFew studies have focused on the incidence of PVT. The de novo thrombosis within one year, in patients with liver cirrhosis, ranges from 7.4% to 16%It is generally thought that liver cirrhosis leads to a progressive bleeding tendency because of the complex alteration of the clotting system induced by liver failure but recent studies have demonstrated that liver cirrhosis, causing a reduced synthesis of either pro-coagulant or anticoagulant proteins is still associated with a balanced equilibrium of the clotting system set at a lower levelEpidemiological studies show a prevalence of venous thrombosis of 0.5% - 1%As in all venous thrombosisIn patients with cirrhosis the derangement of liver architecture leads to increased intrahepatic vascular resistance, development of porto-systemic collateral circulation and splanchnic vasodilatation and ultimately to a stagnation of the portal flow, which is considered the main predisposing factor to thrombosis.Zocco et al have recently demonstrated that the portal flow velocity, measured by Doppler ultrasound, is inversely correlated with the risk of PVTThe age, sex of the patient and etiology of liver disease have not resulted as risk factors for PVT in patients with cirrhosis, even if a lower prevalence of PVT was reported in PSC and PBC candidates for liver transplantationLocal risk factors may trigger thrombosis via endothelial damage as abdominal inflammatory diseases like diverticulitis, pancreatitis, cholangitis. Abdominal surgical interventions, particularly portal-caval shunts and splenectomy, are associated with PVTPrevious bleeding episodes from gastroesophageal varicesLocal ablative therapies, percutaneous ethanol injection and thermotherapy for HCC may induce thrombosis of portal branches close to the tumorOdds ratio of 5.9The G20210A mutation of the prothrombin is the main inherited clotting abnormality that has been associated with PVT development in liver cirrhosis with a prevalence ranging from 21.4% to 29% and an The contribution of FVL, and antiphospho-lipid antibodies to the pathogenesis of PVT in cirrhosis remains controversial. MTHFRTT677 mutation in the absence of hyperhomocysteinemia is not considered a risk factor of venous thromboembolismIn rare cases of PVT associated with recurrent venous thrombosis, or severe presentation with intestinal infarction an underlying myeloproliferative disorder can be suspectedIs it worthwhile performing a complete thrombophilic work-up in the presence of PVT in a cirrhotic patient?The identification of one or more thrombophilic risk factors in a single patient is interesting for research purposes and it useful in the clinical setting to plan the length of anticoagulant therapy. In fact in patients with \u201cstrong\u201d and persistent risk factors anticoagulation has to be prescribed lifelong. In the subgroups of patients with cirrhosis and PVT in which anticoagulation is indicated (see below) the presence of thrombophilia justifies a protracted therapy.From a patho-physiologic standpoint, PVT aggravates portal hypertension with increasing blood flow through collateral veins, which in turn favours bleeding from the esophageal and gastric veins. Even if thrombosis mostly occurs in the main portal trunk it may extend to its intrahepatic branches, splenic vein and into the superior mesenteric vein, leading to mesenteric ischemia or infarction, often lethal in these patientsMoreover, thrombosis of the smaller branches of hepatic and portal veins, frequently found in autopsy samples of cirrhotic livers, may induce hepatocyte apoptosis, contributing to the further deterioration of liver diseaseWhereas theoretically the occurrence of PVT may worsen either liver function or portal hypertensionIn clinical practice the influence of PVT has been evaluated only in the setting of liver transplantation where, even if PVT is not considered an absolute contraindication, it represents a complex challenge for the hepatic surgeon and is the cause of increased post-transplantation morbidity and mortalityPVT can have a variable clinical onset. In a study of 79 cirrhotic patients, PVT caused gastrointestinal bleeding in 39% and abdominal pain in 18%; seventy per cent of patients, admitted for acute abdominal pain, presented intestinal infarction due to the involvement of mesenteric vein .In 43% of cases PVT was a fortuitous finding during the scheduled ultrasound examination for the screening of hepatocellular carcinomaIn the previous studyThis is probably due to the earlier diagnosis of PVT and the less pronounced thrombophilic state in patients with cirrhosis.Nonetheless, the complete occlusion of the mesenteric vein is invariably associated with intestinal ischemia or infarction and the presence of a splanchnic vein thrombosis has to be investigated in cirrhotic patients with acute abdominal pain.PVT is usually diagnosed by abdominal ultrasound with pulsed and color Doppler examination but this procedure has sensitivity and specificity in detecting the thrombus variable from 66% to 100%, because it is affected both by operator expertise and patient characteristicsOverall in the presence of new diagnosis of PVT, the extent of the thrombosis and the clinical features of the patient have to be investigated for a correct evaluation of the prognosis and of the treatment.Studies in numerous series of patients with non-cirrhotic PVT have demonstrated that anticoagulation is safe and effective and represents the therapy of choiceDespite the high frequency of PVT in patients with liver cirrhosis, there are very few data on the treatment in this settingThe main concerns for anticoagulation in cirrhotics arise from the presence of a bleeding risk in these patients and the lack of evidence of a real clinical benefit from the therapy in patients with an advanced liver disease.In stable conditions the bleeding risk arises mainly from the presence of portal hypertension, in fact more than 50% of these patients have gastroesophageal varicesThe utility of the PVT treatment has been assessed only in patients awaiting liver transplantation in whom the presence of a partial PVT represents a cause of increased morbidity and mortality, while a complete thrombosis is a definitive contraindication to transplantation.In a preliminary study Francoz et al.These data, even if necessitating confirmation in larger series of patients, indicated that PVT arising in patients listed for liver transplantation is an indication for anticoagulation therapy.Since data available are not sufficient to make recommendation on PVT treatment, the following suggestions should be considered advice that can help in clinical practice. The choice of the best management should be evaluated case by case, at least to date.The presence of acute abdominal pain, due to intestinal ischemia for progression of thrombosis to the mesenteric vein, represents an absolute indication to anticoagulation in the attempt to prevent intestinal infarction. However, there remains to be evaluated whether the presence of mesenteric vein involvement in asymptomatic patients is an indication for treatment. Considering the likelihood of progression of the thrombotic process and the life threatening consequences of the complete mesenteric vein occlusion, treatment is advisable.- asymptomatic patients with a compensated liver diseaseIt is useful, for clinical purpose, to identify other specific groups of patients in whom PVT treatment needs to be evaluated:This group of patients should be treated according to the criteria of non-cirrhotic PVT either to prevent long term complications of the thrombosis or not to preclude a future liver transplantation option. Moreover, a complete assessment of risk factors is suggested in these patients since a thrombophilic state other than cirrhosis per se is likely.- patients presented with bleeding from portal hypertensionThe clinical onset with gastroesophageal bleeding of PVT should not be considered a contraindication to an anticoagulant therapy since the thrombosis may have triggered the bleeding by worsening portal hypertension. Preliminary data show that in these patients anticoagulation therapy is safe if they are adequately treated for bleeding recurrence by medical and endoscopic prophylaxisIn these patients an intrahepatic shunt (TIPS) could be considered as second line treatment because it can achieve the repermeation of the vessel and concomitant treatment of portal hypertensive complications when endoscopic therapies have failedLastly, the treatment of PVT is not to be recommended in patients with advanced liver disease, unsuitable for liver transplantation, since the improvement of survival is unlikely in this setting. Nor it is recommended in the presence of a well established cavernomatous transformation of portal vein in the absence of well defined risk factors.Studies addressing the issue in patients with PVTare lacking and it is currently advisable to apply to this group of patients the guidelines for the primary prophylaxis of bleeding followed for patients without PVTAs in non-cirrhotic PVT, anticoagulation therapy is the first line therapeutic strategy in patients with liver cirrhosis. Two main groups of drugs are available to this purpose Vitamin K antagonists (VKA), acenocoumarol and warfarin, and heparins.Francoz et al.Amitrano et al.The number of platelets did not change significantly in any patient during anticoagulation treatment and only two patients complained of mild anemia due to portal hypertensive gastropathy.-VKAs administered by mouth are more acceptable by the patients but they need periodical dose-adjustments by INR monitoring; in patients with advanced liver disease the INR value is often spontaneously close to or above 2.0 considered a therapeutic range for anticoagulation. Thus INR value as currently measured is inadequate to monitor anticoagulation for patients with severe liver disease- LMWHs have completely replaced unfractionated heparins since they have the same efficacy and do not necessitate monitoring for dose adjustmentIn absence of comparative studies, the choice of the anticoagulant therapy has to rely on the following considerations:These disadvantages of both anticoagulation strategies may be overcome by the new oral anticoagulant drugs such as thrombin inhibitors and anti factor XaCurrently VKAs may represent a therapeutic option in patients with compensated liver disease who require long term anticoagulation. LMWHs should be given to patients awaiting liver transplantation and to patients with a more severe liver disease.- patients who achieved a complete recanalisation can stop anticoagulant therapy in the absence of previous thrombotic events, or thrombopilic risk factors. They should be followed periodically for PVT recurrence.- patients with partial recanalisation or with a stable partial thrombosis should continue anticoagulant therapy if candidates for or suitable for future OLT in order to prevent a complete portal vein occlusion.- patients who failed to achieve any recanalisation of occlusive PVT should stop anticoagulant therapy. Nevertheless, in patients with deep vein thrombosis of the limbs, residual or persistent thrombosis is considered as a risk factor for recurrence requiring long-life anticoagulation- patients with recurrence of PVT should be considered for long-life anticoagulant therapy.The current guidelines for the treatment of venous thromboembolismLocal and systemic thrombolysis has been utilized in the setting of non-cirrhotic venous thrombosis and only rarely in cirrhosis as rescue therapy but high rate of major complications including bleeding has been reportedSo this therapeutic approach in a cirrhotic patient with PVT should be reserved only in the case of patients with ongoing intestinal infarction not responsive to anticoagulation therapy.Transjugular intrahepatic porto systemic shunt (TIPS) can be considered a second line treatment of PVT in patients with portal hypertensive complications not controlled by the common therapeutic approach particularly in patients awaiting liver transplantation. In preliminary experience Senzolo et al. reported a successful TIPS placement in a 69% of 13 cirrhotic patients with PVTPortal vein thrombosis is recognized as one of the complications of liver cirrhosis but many aspects still remain to be elucidated. The first is the impact of PVT on the natural history of liver cirrhosis and prospective studies addressing this issue are warranted and to identify subgroups of patients who could benefit from PVT treatment.The best treatment option in terms of efficacy and safety has also to be established. Furthermore, which anticoagulant treatment, the duration of therapy and the modality of monitoring need to be evaluated in future controlled trials."}
+{"text": "A key problem in neuroscience is understanding how the brain makes decisions under uncertainty. Important insights have been gained using tasks such as the random dots motion discrimination task in which the subject makes decisions based on noisy stimuli. A descriptive model known as the drift diffusion model has previously been used to explain psychometric and reaction time data from such tasks but to fully explain the data, one is forced to make ad-hoc assumptions such as a time-dependent collapsing decision boundary. We show that such assumptions are unnecessary when decision making is viewed within the framework of partially observable Markov decision processes (POMDPs). We propose an alternative model for decision making based on POMDPs. We show that the motion discrimination task reduces to the problems of (1) computing beliefs (posterior distributions) over the unknown direction and motion strength from noisy observations in a Bayesian manner, and (2) selecting actions based on these beliefs to maximize the expected sum of future rewards. The resulting optimal policy (belief-to-action mapping) is shown to be equivalent to a collapsing decision threshold that governs the switch from evidence accumulation to a discrimination decision. We show that the model accounts for both accuracy and reaction time as a function of stimulus strength as well as different speed-accuracy conditions in the random dots task. Animals are constantly confronted with the problem of making decisions given noisy sensory measurements and incomplete knowledge of their environment. Making decisions under such circumstances is difficult because it requires (1) inferring hidden states in the environment that are generating the noisy sensory observations, and (2) determining if one decision (or action) is better than another based on uncertain and delayed reinforcement. Experimental and theoretical studies In this paper, we derive from first principles a POMDP model for the well-known random dots motion discrimination task hidden state, belief (posterior probability distribution) over the set of possible states given the sensory observations seen so far: optimal policyWe model the random dots motion discrimination task as a POMDP. The POMDP framework assumes that at any particular time step, the environment is in a particular We now describe how the general framework of POMDPs can be applied to the random dots motion discrimination task as shown in In a given trial, neither the direction It can be shown Given the framework above, the task of deciding the direction of motion of the coherently moving dots is equivalent to the task of deciding whether The animal updates its belief after receiving the current observation Recall that a belief state A policy belief MDP, we need to define the transition probabilities One standard way Given the time-independent belief state transition Before we proceed to results from the model, we note that the one-step belief transition probability matrix We summarize the model variables as well as their statistical relationships in The optimal policy We compare predictions of the model based on the learned policy The performance on the task using the optimal policy The sequence of random variables Let The probabilities of making rightward or leftward eye movement are the marginal probabilities summing over all possible crossing times: The left panel of The right panel of There is essentially one parameter in our model needed to fit the experimental accuracy data, namely, the reward ratio From The above model makes two testable predictions about neural responses in LIP. The first is that the neural response to The second prediction concerns the buildup rate Another advantage of a POMDP model is that the model parameters have direct physical interpretations and can be easily manipulated by the experimenter. Our analysis shows that the optimal policy is fully determined by the reward parameters The proposed model demonstrates how the monkey's choices in the random dots task can be interpreted as being optimal under the hypothesis of reward maximization. The reward maximization hypothesis has previously been used to explain behavioral data from conditioning experiments We showed through analytical derivations and numerical simulation that the optimal threshold for selecting overt actions is a declining function of time. Such a collapsing decision bound has previously been obtained for decision making under a deadline Instead of traditional dynamic programming techniques, the optimal policy"}
+{"text": "This includes maintaining skin integrity wherever possible, promoting healing in the non-healing wound and provision of expertise and specialist equipment to complex acute and chronic wounds.\u25cb The Podiatry Wound Care Service is a team of experienced podiatrists highly skilled to manage the high risk foot. The team works across both primary and secondary care forming a seamless service between the two working closely with all disciplines to provide a holistic approach to treatment and care planning.\u25cb The Lower Limb Service is run by experienced nurses who are proficient in the management of cellulitis, tissue viability and skin care related to the lower limb. Patients are provided with a variety of health education, clinical treatment and advice in different settings including community clinics, domiciliary visits and groups within the wider community.Each service has a different view of the patient and their wound.Working within an integrated team allows us to fast track urgent referrals and arrange joint visits between the disciplines with ease so wound care plans can be devised and implemented immediately. The 3 services complement each other well, each bringing a different skill mix to the treatment but with us all having the same goalJust as we view the patient holistically but assess individual systems, so the Integrated Wound Care Team is able to take a different view of the wound but collaborate together to provide high quality care which benefits the patient as a whole."}
+{"text": "Previous vaccine development has been driven mainly by policies and concerns around childhood, with the aim of preventing premature death amongst young children from infectious disease and stopping them from acting as carriers. Whilst this is important, the face of the world has changed recently and the problem has now to be extended to include the protection of a vulnerable aging population. Here we present the case for a need to develop a prophylactic regimen for older individuals which features vaccination at the center of a portfolio of treatments.Advances in medical, social, and economic conditions have resulted in human population growth and an ever-extending life expectancy such that for the first time in our history the world population will soon have more people over the age of 65 than under the age of 5. The development of antibiotic therapy, progresses in vaccine technology combined with mass vaccination programs and government schemes to improve economic and social well-being mean that the majority of individuals over the age of 65 are currently physically more active than their counterparts a few decades ago . Influenza is commonly thought to be a disease of limited duration, but in older individuals it may lead to a period of prolonged bed rest. Because long periods of bed rest are associated with a loss of aerobic capacity (1% per week whilst bedridden), a loss of muscle capacity (5% per week), and a loss of bone density (\u223c1% per week) this may leave a previously healthy older individual as a weak frail person dependent on assistance from others for their normal activities of daily living is recommended for all adults over the age of 60\u201365 to combat transmission (Michel et al., The poor performance of the TIV in providing protection in older individuals has been known for some time, but to date there has been no satisfactory resolution of the issue. Several studies have been undertaken on possible reasons for this problem and these have produced a number of studies on age-associated changes in immunity which have identified problems with Langerhans cells (Shaw et al., One of the major challenges for vaccine development in this population is associated with identifying measureable surrogate markers which are acceptable readouts of immune protection (Lang et al., In a complex system such as the immune system with its multiple component overlaps, predicting individual responsiveness to influenza vaccination using a single method able to distinguish between a healthy and an immunosenescent state, would be very challenging. Especially as the ability of the immune system to respond to vaccination is further impinged upon by the impact of non-immune factors such as nutritional and metabolic status, and comorbidities from which adults increasingly suffer from as they age (Collerton et al., The presence of these multiple issues associated with vaccine ineffectiveness underlines the degree of diversity which exists amongst older individuals, which in turn is somewhat expected since aging is neither regulated nor programed. Although each individual ages differently and in a way, which in part is dependent on lifestyle choices and environmental factors, there are common threads (Murabito et al., Since there are currently no tests associated with defining an individual's ability or inability to produce a protective response to vaccination, a more valuable approach would be to measure several aspects of the immune response following vaccination within an individual and compare these not only with known benchmark levels but also to confront these with validated biological and clinical outcomes. This would entail some degree of classification of older individuals into specific trends of aging on the basis of defined characteristics or their absence. In the past efforts have been made to achieve this and define an immune risk phenotype which includes T cell phenotypes, subset numbers, function, CMV status, and cognitive impairment (Wikby et al., Such a move from the existing immunization menu toward a greater degree of personalized medicine could contribute to accelerating the development of new vaccines with higher efficacy and of specific combined therapeutic approaches than those currently available."}
+{"text": "In 2007, Kangan Institute commenced inclusion of Allied Health Assistant Certificate 4 - Podiatry Units delivered by a podiatrist. Different models have been delivered including external placement with private podiatrists, service specific units on site and external work based programs. Since then, a number of TAFE based AHA courses have been commenced including those at Swinburne and Gippsland. With National Registration, the recognised qualification for podiatry assistants is the Certificate III or IV Allied Health Assistant qualification that includes Podiatry Units.Clarification of the required training for podiatry assistants has offered TAFE services the opportunity to consider the way in which services are offered, and to review the barriers and enablers: (i) to podiatrists using AHA trained podiatry assistants in the work setting and (ii) to acceptance of AHA students for podiatry based clinical placements. This presentation will discuss these issues and present some of the current strategies used in the TAFE sector to enhance the enablers and reduce barriers to the benefit of the profession and its podiatry assistants. It will also discuss methods to expand the training in the future to benefit the podiatry industry."}
+{"text": "By living in a \u201cworld of water\u201d fishes are exposed to major osmotic challenges that are opposite in nature in the freshwater and marine environments. In both cases, obligatory water fluxes primarily due to osmotic gradients across respiratory surfaces are threatening to the internal milieu and must be compensated by bulk flows of water in the opposite direction. While the ionoregulatory mechanisms that generate the osmotic driving force for such water flows have been known for decades, the molecular pathways of compensatory water fluxes are still largely unravelled. Current models suggest that water passes hydrophobic epithelia by para- and/or transcellular pathways, the former being defined by the characteristics of tight junctions, the latter determined by the serial permeability of apical and basolateral cellular membranes. Transcellular water transport may occur by simple diffusion through lipid bilayers or become markedly improved by the insertion of integral channel proteins (aquaporins) in the plasma membrane. Thus, aquaporins can truly be conceived as the plumbing system of cells.In mammals, 13 aquaporin subfamilies are present and several of these have been investigated structurally and functionally in >6600 publications since their discovery in 1992 by Agre and colleagues. The first paper on aquaporins in fishes appeared in Cutler and Cramb but surpAquaporins most certainly play distinct roles in fishes as they do in mammals\u2014both at the cellular, organ and organismal level. However, there is a considerable lack of information from the fish world on this topic, with only ca. 50 papers addressing aquaporins in fishes at the time of the call of this Research Topic in 2010. Most of these describe tissue expression patterns in various Teleosts, while Aqnathans and Chondrichthyes and the functionality of fish aquaporins have received very little focus. This ebook presents a collection of papers addressing the evolution and role of aquaporins during gametogenesis and embryonic development as well as for water transport across adult gill, kidney and intestinal epithelia using bony and cartilagenous fishes as models. Our aim is to stimulate new original research in this area as well as bringing together new collaborations across fields."}
+{"text": "Sir,We appreciate the keen interest in our cMycobacterium tuberculosis from kidney transplant recipients because the recipients may belong to diverse geographic locations where the prevalence of drug resistance may vary. Identifying drug susceptibility is all the more important in transplant recipients in view of the limited drug options available for them due to significant interaction of rifamycins with calcinurin inhibitors (CNIs) and mTOR inhibitors. The current recommendation for treatment of tuberculosis in kidney transplant recipient is to use the same treatment regimen as used in local general population who require therapy.[The KDIGO clinical practice guidelines for the care of kidney transplant recipients recommen therapy. Rifampic therapy.5 The duret al.[et al.[Aguado et al. has repol.[et al. reportedl.[et al. durationThe prostatic abscess in our patient was asymptomatic and was picked up only on imaging; he had no evidence of bladder outlet obstruction. Hence, an intervention for draining the same was not considered necessary. A repeat CT scan after 3 months of antitubercular chemotherapy showed complete resolution of the abscess."}
+{"text": "Simon Hay and colleagues discuss the potential and challenges of producing continually updated infectious disease risk maps using diverse and large volume data sources such as social media. Systems to provide static spatially continuous maps of infectious disease risk and continually updated reports of infectious disease occurrence exist but to-date the two have never been combined.Novel online data sources, such as social media, combined with epidemiologically relevant environmental information are valuable new data sources that can assist the \u201creal-time\u201d updating of spatial maps.Advances in machine learning and the use of crowd sourcing open up the possibility of developing a continually updated atlas of infectious diseases.Freely available dynamic infectious disease risk maps would be valuable to a wide range of health professionals from policy makers prioritizing limited resources to individual clinicians.It is perhaps surprising to state that we have an extremely poor knowledge of the global distribution of the vast majority of infectious diseases Here we argue that this information gulf has serious implications for global public health surveillance and that too little attention is given to spatial epidemiology in international preparedness planning. Stated simply, how can we gauge the risk posed by new infectious disease outbreaks if we have only the crudest understanding of their natural geographical range? Additionally, how do we prioritise useful intelligence in the growing deluge of Big Data To explore the factors hindering progress, we need to consider how traditional methods are used to map disease. We illustrate this in To complete the process illustrated in Canonically, the output risk surface is where the mapping process ends, which further compounds the problem of the paucity of infectious disease mapping. This is in part due to the very labour intensive nature of assembling provides continually updated disease occurrence points but not continuous spatial data. Can we conceive of spatially continuous risk maps being updated in \u201creal-time\u201d\u2014as frequently as new occurrence data are assimilated? The conceptual bridge of imagining spatial modelling as a continuous process in time is achieved simply by linking the output risk map back to the data inputs to create a feedback loop. This is important as it facilitates the novel step of spatial triage of new occurrence information (see below) and critically, the potential for multiple iterations of the map with continuous improvement by adding a machine learning element. This conceptual shift towards evolving maps, in combination with the increased availability of novel digital data sources The process described above provides a continuous risk map in space that is static in time. Conversely HealthMap , frequency of update (velocity), or diversity (variety) It is well established that a huge amount of novel data are being generated that will make important contributions to temporal public health surveillance In the era of satellite sensors, a diversity of epidemiologically relevant environmental information can be sourced globally at daily intervals Perhaps the most important development in relation to Big Data is the conceptual move from static to improving and evolving risk maps. Taking further our example of dengue mapping , the firThe biggest obstacles to incorporating a continuous spatial mapping component to routine biosurveillance will be demonstrating the feasibility and sustainability of this undertaking and engaging the audience. We have focussed here on applications for biosurveillance but it is important to emphasise the wider audiences. First, one should never underestimate the value of risk maps in helping to illustrate the extent of a public health problem www.flunearyou.org) and Influenzanet in the EU (www.influenzanet.eu), which now boast nearly 100,000 volunteers combined. From the outset all infectious disease data and derived maps should be made freely available to ensure engagement. This will also facilitate the uptake of new resources and their consideration by policy makers. Once the primary investment in the software platform is complete, and the community established, sustainability increases because demands for user inputs decrease as the software learns and the mapped outputs become increasingly stable. The ultimate vision is to democratise the platform by providing the code to all interested authorities.We have already argued that this mapping ambition is made tractable by automating many of the laborious steps in primary data acquisition and positioning. The Big Data revolution is already underway and harnessing the useful information in these new data sources will involve collaborations with computer scientists at the forefront of machine learning and with those who have had success in engaging communities"}
+{"text": "The potential to discover unanticipated clinically significant genetic variants during the course of research has stimulated much debate about the obligations of researchers to communicate such findings to study participants. Published guidelines suggest that researchers have an obligation to communicate valid and significant results, especially if they are clinically actionable. I will present data on the practices and perspectives of investigators conducting genome-wide association studies (GWAS) and will caution against the establishment of a general obligation to return results in research. I will compare the role-specific responsibilities of researchers with those of clinicians and discuss emerging standards for genomic analysis and communication of test results in the clinical setting."}
+{"text": "Mediterranean Journal of Hematology and Infectious Diseases (MJHID) is a new open access, peer-reviewed, online journal, which encompasses different aspects of clinical and translational research providing an insight into the relationship between acute and chronic infections and hematological diseases. MJHID will be a topical journal on subjects of current importance in clinical haematology and infectious diseases. Every issue should have, beside the editor in chief, a guest editor. Both editor in chief and guest editor provide to invite experts in the selected topic to performe a complete update of the arguments readily available for practising phisicians. The journal will have also a section devoted to original papers, case reports and letters to editor and Editorial comment mostly focusing on the arguments treated in the previous topical issues. Reciprocal interdependence between infectious and haematologic diseases is well known.27Splenectomy frequently performed autoimmune diseases as well in lymphoproliferative diseases is a further cause of immunodeficiency.28helicobacter pylori and B lymphoproliferative diseases are well known65Nevertheless, the main cause of immunodeficiency at present is due to HIV infection in developed as well in developing countries.Urgent pragmatic and efficient measures are needed both at international and national levels. Most of the peoples affected by neglected infectious diseases live in Central Africa, South Asia This should be possible bridging the health system gap between the south and the north borders sides of Mediterranean Sea while improving scientific collaboration.Case report should have educational character. Clinical trials of hematologic and infectious diseases present of Mediterranean area will have their natural home in this Journal. Also case studies relative to important health care intervention in developing countries of south Mediterranean areas will be accepted. All that should contribute to disseminate updated informations among physicians of developing countries on the more frequent diseases of the Mediterranean area.The results of relevant studies in the field should be made available to scientists and clinicians, in particular those in developing countries where the fight against pathogen related cancers is of the utmost importance.Every accepted manuscript will be available for reading on its date of acceptance by any person who has access to the web in web-friendly XML. Considering that every issue will be devoted to a topic, when all articles of the same topic will be available they will be formatted and the typeset PDF version will be available. The first issue of the MJHID has been dedicated to \u201cUpdate in Diagnosis and Treatment of Thalassemia and related Disorders\u201d Guest Editor Prof. Maria Domenica Cappellini."}
+{"text": "Partnership between service users and researchers is a cornerstone of the current research and development strategy for England\u2019s National Health Service and is considered by funders as essential throughout the entire research process. To promote and facilitate public involvement in the field of HCAI research, the HCAI Research Network (RN) formed a Service User Research Forum (SURF) to inform priorities and contribute to HCAI research. This paper shows how SURF is supported to develop its own research priorities into viable projects.The HCAI RN has developed a robust process with SURF to identify priorities and develop feasible research questions, facilitate interrogation to assess viability and ethics and ensure potential benefits are defined. This enables lay researchers to contribute to literature reviews and desk research; determine appropriate funding; work in partnership with academic/ clinical researchers and undertake research team roles. The HCAI RN provides training and support for this process.In 2010, SURF worked collaboratively with clinical and academic researchers to submit a proposal exploring patient experiences of MRSA screening for funding. The group is currently developing a user-led project evaluating health professional education in HCAI.Active service user involvement contributes diverse perspectives, ensures projects are relevant to patients and the public and empowers service users to make real contributions to the reduction of HCAI and drive change within healthcare settings. We continue to develop strategies to enable SURF involvement at all stages of research. Dedicated training and support ensures service users have the research skills and confidence to make their knowledge, experience and insights count in HCAI research.None declared."}
+{"text": "Thyroid gland disease of autoimmune origin presents wide spectrum of pathologies, Graves\u2019 disease from one side and chronic thyroiditis with fibrosis and atrophy of gland parenchyma from the other one. Among them the highest number of misunderstandings is observed in pathological reports of chronic thyroiditis in pre-operative cytological as well as in post operative histological examinations. There are numerous classifications of chronic thyroiditis, however they are not widely accepted. Histoclinical classification which correlates elements of microscopic examination with clinical course of the disease seems to be ideal but still does not exist. FNAB of thyroid gland is a method of the greatest importance in the diagnosis of chronic thyroiditis however that fact is not widely understood in every day routine of clinicians and pathologists."}
+{"text": "The world of pharmaceutical statistics has taken adaptive designs to its heart - at least in theory. However despite the very large number of methodological publications and presentations at conferences there are still very few examples of adaptive designs in the medical literature. In this talk I will discuss why this might be the case and will suggest areas where these approaches are likely to be of greatest value in the future."}
+{"text": "To the Editor: Recent articles in the professional literature (Neisseria gonorrhoeae (QRNG) is much more common in Asia . Those partners who were identified were either not located or did not agree to speak with the disease intervention specialist.Sexual behaviors associated with travel can change the level of risks for STD transmission (Neisseria gonorrhoeae should serve as a model for STD prevention planning and programming. It highlights the importance of retaining the laboratory capacity to monitor antimicrobial susceptibilities of bacterial STD isolates. Treatment protocols should be adjusted in light of the prevalence of resistant strains of sexually transmitted pathogens. In cases in which symptoms associated with a bacterial STD persist after what is usually considered appropriate treatment, clinicians should obtain cultures and perform susceptibility tests on isolates. Nucleic acid amplification technologies do not provide critical antibiotic susceptibility information. In this situation, the public health STD program or laboratory should be contacted for guidance. Determining the sensitivity pattern of the pathogen in an expeditious fashion will ensure that appropriate and timely therapy can be initiated for the infected patient as well as enable more effective follow-up and treatment to sexual contacts. Asking patients who seek treatment for a possible STD about their own and their partner\u2019s travel histories is important to broaden the differential diagnosis (This experience with antimicrobial resistance of"}
+{"text": "Malaria is one of the major public health problems for low income countries, a major global health priority, one that carries a dramatic economic impact. Funding and consequently coverage of both preventive interventions and of case management for malaria control have been rising and both international donors and governments of malaria endemic countries need the tools and evidence to assess which are the best and most efficient strategies. To aid with these decisions we developed an open access malaria costing database that effectively summarizes an extensive body of literature on costing and effectiveness of malaria preventive interventions and case management. The database comprises 150 publications spanning from 1985 through 2012 from a total of 42 countries. We collected costs, detailed site and intervention data on insecticide residual spraying campaigns, insecticide treated net distribution and re-treatment campaigns, delivery of intermittent preventive treatment, and treatment of uncomplicated and severe malaria. Unit costs and other intervention data were coded into standardized categories and expressed in common 2008 international dollars allowing us to compare economic outlays across sites and interventions. We discuss findings from these descriptive analyses and illustrate how these data can be used to extrapolate costs to other countries."}
+{"text": "A poster presentation will be prepared to disseminate the result of research conducted to investigate the potential for the Health Belief Model as a tool to understand the factors affecting compliance with the use of prescribed footwear in diabetic foot disease.A self-completion postal questionnaire was developed and applied in a South Wales Valley community to investigate the health beliefs of 72 individuals provided with prescription footwear for advanced diabetic foot disease and to investigate the impact of these beliefs on their compliance with prescription footwear.46.6% of respondents were found to be compliant with their use of prescribed footwear at the 9.6 hours per day threshold. Prior history of ulceration was found to be associated with increased likelihood of compliance , which contests the finding of McFarlane & Jensen(2003). Recollection of advice to wear the prescribed footwear indoors was also significantly associated with compliance . Patients who perceived prescribed footwear as beneficial used them for a greater number of hours per day . Patients who perceived diabetic foot ulceration as serious were more likely to perceive prescribed footwear as beneficial and patients who perceived prescribed footwear as beneficial were less likely to rate barriers to compliance as high . The correlation between the summary health belief scale and reported daily hours of prescription footwear was not significant . An improved health belief model has been constructed to enhance understanding of the factors affecting compliance in this context.It is recommended that the NHS provision of prescription footwear should be focused toward patients with a previous history of ulceration and those for whom ulceration is imminent. Patients with pre-ulcerative diabetic foot disease should be counseled to wear protective commercial footwear indoors as well as when walking outside."}
+{"text": "Being able to induce therapeutic tolerance for the treatment of immunological diseases was once considered by many to be an unattainable dream, but recent developments in our understanding of immune regulation and tolerance-compatible immunosuppressive drugs may be turning that dream into reality. Tolerance induction in many rodent models of autoimmune disease and graft rejection is now almost trivial, and the problem has become not how to achieve tolerance experimentally but how to translate this knowledge to real clinical applications in human disease. This volume brings together 17 articles that highlight some of the different approaches being investigated for translating potentially tolerogenic therapies to the clinic and the barriers that still need to be overcome.The first two articles review the current status of clinical trials that result from large networks of basic laboratories and clinical consortia coordinated by the International Tolerance Network o et al. discuss o et al. focuses o et al. make a cThe following six articles consider various novel approaches to tolerance induction. Becker et al. argue thThe final six articles discuss in more detail some of the barriers that remain to clinical translation of tolerogenic therapies to the clinic. Pasquet et al. questionIn summary, we have made considerable progress toward translating potentially tolerogenic therapies from rodent models into the clinic, to the point where we now have a much clearer understanding of the barriers that remain and how we may yet overcome them."}
+{"text": "Previous research has overwhelmingly established a relationship between sport participation and the development of positive body image (BI) (Richman & Schaffer (2000), Shaffer & Wittes (2006) and Greenleaf et al (2009). However a number of studies have indicated some women are particularly vulnerable to the development of poor BI in relation to sports participation . Due to the conflicting evidence, we have used an interpretive phenomenological framework to qualitatively explore women's experiences. Specifically we aimed to understand the perceived impact of sports participation and related commentary during childhood on adult body image. Participants were given the opportunity to suggest interventions which would improve their experiences of sports in relation to BI.Women indicated they started to think about their bodies from as young as 6 and 7. They remembered critical incidences that occurred during childhood sports which they perceived to influence their BI either in a positive or negative way. The awareness of their bodies has often come about through commentary from family or coaches, or through sporting uniforms. Suggestions for interventions have included mandatory education on overall health and food from as young as 6 in primary schools.Body Image stream of the 2013 ANZAED Conference.This abstract was presented in the"}
+{"text": "Measurements of membrane potential traces constitute the main observables to derive a biophysical neuron model; in particular, the dynamics of auxiliary variables and the model parameters are inferred from voltage traces, in a costly process that typically entails a variety of channel blocks and clamping techniques and some"}
+{"text": "Often it is mentioned by participants that having peers speak out about their personal journey has instilled a sense of hope and been an inspiring experience. From this evolved the Mentor program. The Body Image and Eating Disorders Treatment and Recovery Service (BETRS) Mentor Program has been developed to complement the professional expertise within the team. Our Mentors share their lived experience of an eating disorder with current patients of BETRS. The invaluable contribution to the service by our mentors has been the following:- Supporting hopefulness and the recovery process by co-facilitating group sessions that focus on how they dealt with issues that are of particular concern to current patients.- Strengthen relapse prevention by giving firsthand accounts of occasions when lapses have not signalled a relapse but have been incorporated into the recovery process.- Mentors have been fostering motivation by encouraging behaviours that supported their own recovery and by assisting with the organisation and general care of the client group.- By sharing their experience of having an eating disorder and providing evidence of hope during the course of recovery mentors have given family and carers and better understanding.Care in Inpatient and Community Settings stream of the 2013 ANZAED Conference.This abstract was presented in the"}
+{"text": "Enviromental bioburdon is a potential source of healthcare associated infections (HAI) but there has been no evidence based science to authenticate this. Cleaning practices in healthcare environments is often set in place by the environmental service workers and continued. Standard guidelines of cleaning process are lacking, and as there is no scientific standard to measure the effect of the process and the bioburden, it is often not addressed by medical community. Monitoring of cleanliness is by visual audit which is a purely aesthetic parameter and subjective. We put in protocols for the cleaning of patient zone and high touch surfaces for the ICU after we had an outbreak of Acinetobacter baumanni infections. We added also an indigenous (detergent) mat at the entrance of the o ICU to decrease the biobuden.To implement a standard domestic hygiene protocol to prevent HAI. To make cleaning an integral part of infection control activity.We took up a pilot project in our 18 bedded medical intensive care unit when there was an outbreak of Acinetobacter baumanni infections. We prepared a protocol for cleaning of the ICU by defining all basic parameters. Responsibility was delegated to the nursing staff for cleaning the bedside equipment (near patient hand touch surfaces) and the environmental service workers were accountable for the rest of the area. Infection control team gave hands on training to relevant staff. The process was monitored microbiologically (aerobic colony count) and by biochemical (ATP bioluminescence) means.Environmental follow up surveillance showed marked decrease in the colony forming units and biobuden.There has been no outbreaks of Acinetobacter baumanni infections after the implementation and monitoring of this protocol.Awareness and compliance of the protocol is high. A well designed cleaning protocol has been set to maintain clinical environment across hospital today.Environmental contamination is recognized as an important reservoir of the epidemic strains. High standards of domestic cleaning are essential intervention in the control of HAI. Simple hygiene is only solution in this end of antibiotic era to prevent HAI.None declared"}
+{"text": "Sir,Mansonella perstans and apologize for the inadvertent error. The only reported case of pleural effusion due to M. perstans was of Kahn in 1983.[This is in reference to the letter by an esteemed reader. I appreciate the interest shown by him regarding our case. We regret that the case reported by him was wrongly quoted in our article as caused by We did not consider pleural biopsy as the diagnosis was firmly established by repeated demonstration of microfilariae in pleural fluid, and the patient denied consent for pleural biopsy. The literature shows that pleural biopsy does not always demonstrate microfilariae.3The method used for demonstration of microfilariae in pleural fluid was hematoxylin and eosin stain on smears prepared from the sediment of pleural fluid after centrifuging at 2000 rpm for 15 min. Pleural fluid samples were collected at night time or in early morning."}
+{"text": "Facial asymmetry is a common condition and only becomes a problem if there is a significant difference between both sides. In the Asian community, the difference between the height and width of the palpebral fissures and the skin creases is usually the most apparent on photographs. There has not been any reports on the prevalence of such differences between the various racial groups in Malaysia. This study looks at the incidence of asymmetry of the palpebral fissue and upper eyelid crease in young Malaysians of Malay and Chinese origins of which form the biggest racial groups in Malaysia. Data obtained from such studies would be useful for reconstructive and aesthetic surgery as well as for counselling patients with dysmorphophobia.Malaysian students between the ages of 18 and 26 were randomly selected at University Malaysia Sarawak. These students comprised of 197 Malays and 198 Chinese. The following parameters of both eyes were obtained with a millimeter ruler: palpebral fissure width (PFW), palpebral fissure height (PFH), intercanthal distance (ICD) and upper eyelid skin crease height (UESC). The presence and absence of skin creases were also recorded. Data collected was analyzed with Microsoft Excel and SPSS.There is statistical significant difference between the different sexes and races for PFW and PFH but none between the two sides. There is statistical significant difference between the two eyes for UESC. Chinese males have the highest percentage of PFW and PFH asymmetry. Malay males have the highest percentage of UESC asymmetry.Eyelid asymmetry is common amongst Malaysians. Asymmetry of PFW, PFH and UESC is commoner in males than females. Of the three parameters, asymmetry of UESC is the commonest. PFW and PFH asymmetry is more common in Chinese than Malays but UESC asymmetry is more common in Malays. UESC is almost universally present in Malays whereas in the Chinese there is a significant percentage of subjects with asymmetry of presence of UESC which gives rise to a more obvious eyelid asymmetry. This data is useful for oculoplastic surgeons who are keen on counselling patients who wish to undergo aesthetic procedures pre and post-operatively."}
+{"text": "The introduction of mandatory Continuing Professional Development (CPD) as a condition of podiatry registration has caused quite a deal of manic amongst the Podiatry population. What practitioners may underestimate is the amount of CPD that is undertaken as part of their everyday work practices. The podiatrists at Eastern Health are fortunate to have a supportive work environment that aims to foster learning opportunities and career advancement. This poster shows an audit of the amount and types of learning opportunities logged by the 12 member podiatry department for the first six months of the mandatory CPD period. The audit uncovered that many of the staff members had satisfied the Podiatry Board of Australia\u2019s mandatory requirements within a two-month period. It is hoped that this poster will inspire others to think about their ongoing CPD opportunities within their own workplace."}
+{"text": "I World Health Organization Global Malaria Action Plan sets out an ambitious plan for improved control, leading to regional elimination and includes as the ultimate goal the eradication of malaria. The ambitious goal of malaria eradication can however not be achieved with the tools and approaches currently available. Research and development of new tools must accompany and complement the Global Action Plan. We critically review and discuss the progress so far made to pursue the R&D agenda and about the key R&D issues where renewed attention and investments are required [Malaria elimination and eradication is back on the global health agenda. The Roll Back Malaria required . The folP. vivax: in vitro culture and study of the biology of hypnozoites.\u2013 The strengthened focus on \u2013 Drugs to be used for mass drug administration to clear infections and provide prophylaxis to prevent new infections Vaccines that aim at interrupting transmission.A. gambiae.\u2013 New vector control approaches for (i) outdoor biting / resting mosquitoes and (ii) achieving permanent reductions of vectorial capacity in areas where transmission is predominantly due to \u2013 New approaches for fast and accurate assessment of transmission at community level and strengthened diagnostic, monitoring, and surveillance tools/approaches that are linked and embedded in the health and social health systems.\u2013 New approaches in mathematical modelling to inform Target Product Profiles of tools, and predict expected outcomes of intervention strategies for elimination.\u2013 Tools to scientifically assess and determine health system readiness for moving from control to elimination.The review will conclude by pinpointing the challenges that are still ahead of us in the development of the science for elimination and application of its results to effectively complement the Global Action Plan."}
+{"text": "Annals exists in part to keep surgeons up to date with advances in surgical research. We also have a responsibility to inform our readers of research opportunities that they may wish to join. Professor John Scholefield heads the National Institute for Health Research (NIHR) National Surgery Specialty Group and he has asked us to publish regular updates of surgical research activity taking place across the UK. We are pleased to do so and provide some additional information below.The The Comprehensive Clinical Research Network (CCRN) is one of eight NIHR networks in England that provide researchers with the practical support they need to make clinical trials happen in the NHS so that more patients can take part in clinical research in England. The devolved nations have similar arrangements in place to support clinical research.The Surgery Specialty Group is 1 of 24 specialty groups that provide national networks of topic-specific expertise. These groups are key to the success of the CCRN. They work at both national and local levels to ensure the successful delivery of research in their specialties. This means ensuring that studies are delivered to target and on time.>We offer opportunities for surgeons and other healthcare professionals to become involved in research as well as for existing researchers to access a network of skilled research support staff and wider patient populations.>Comprehensive Local Research Networks can provide: assistance with the research and development approvals process; research nurses to consent patients into studies and perform study-related procedures; support for services such as pharmacy, imaging and pathology; and access to training opportunities.>http://www.crncc.nihr.ac.uk/about_us/ccrn/specialty/) or you can email the CCRN specialty groups team .Detailed information about specialty groups including contact details for regional representatives can be found on the Clinical Research Network website of the Chief Investigator.>Get in touch with the named contact>Click on the link for each trial (if viewing online)>http://public.ukcrn.org.uk/search/)Visit the website of the Clinical Research Network Study Portfolio (For further details:"}
+{"text": "Telehealth systems benefit from the rapid growth of mobile communication technology for measuring physiological signals. Development and validation of a tablet PC enabled noninvasive body sensor system for rural telehealth application are discussed in this paper. This system includes real time continuous collection of physiological parameters and fall detection of a patient with the help of a body sensor unit and wireless transmission of the acquired information to a tablet PC handled by the medical staff in a Primary Health Center (PHC). Abnormal conditions are automatically identified and alert messages are given to the medical officer in real time. Clinical validation is performed in a real environment and found to be successful. Bland-Altman analysis is carried out to validate the wrist blood pressure sensor used. The system works well for all measurements. The population of elderly individuals is quickly expanding far and wide. The population of individuals of more than 65 years of age around the world will achieve 761 million by 2025, more than twofold of the 1990 figures \u20136.Hypertension and accidental falls are the two emerging public health problems and a barrier to active ageing . HyperteFall prevalence in India increases with age and is the highest in women and older adults . All perLatest developments in the field of wireless technology can be utilized for monitoring. Wireless body area sensor network (WBASN) is a developing technology that interconnects tiny nodes with sensing capabilities in, on, or around a human body . Recent Community Health Centers (CHC) and Primary Health Centers (PHC) are managing a heavy patient load with the shortfall of doctors as well as supporting staffs . So the This paper is organized as follows: A wearable wrist sensor worn by the patient is used in this work for real time implementation. An embedded platform is used for acquiring the biological information from the wrist sensor and transmitting to a mobile phone/tablet PC running on android platform which is monitored by a medical staff.The hypertension status of the person under test is immediately sent to the tablet PC and automatic alert facility for hypertensive patients is sent to the medical officer through short message service (SMS) facility. The proposed telehealth system architecture with remote monitoring facility is shown in The block schematic of the body sensor unit developed for this work is shown in The body sensor unit, connected to the patient at the health center, consists of the following sensor units.(a) Blood Pressure/Pulse Rate Sensor. Arterial pressure is defined as the hydrostatic pressure exerted by the blood over the arteries as a result of the heart left ventricle contraction [traction . Blood pA noninvasive blood pressure (NIBP) sensor working on oscillatory principle is connected at the wrist of the subject. Wrist sensor measures systolic blood pressure (SBP), diastolic blood pressure (DBP), and pulse rate (PR) of the subject under test. The proper cuff and bladder size used in the assessment of blood pressure is important for accurate measurement. The use of a cuff that is too short and narrow for a given arm results in erroneously high blood pressure measurement. Use of a cuff that is too large results in erroneously low blood pressure measures. Wrist blood pressure sensor used in this work has a cuff with a bladder that is 120\u2009mm wide and 250\u2009mm long.(b) Temperature Sensor. The LM35 series are precision integrated-circuit temperature sensors, whose output voltage is linearly proportional to the Celsius (Centigrade) temperature [perature . The LM3(c) Accelerometer Sensor. A wearable sensor system called Smart Wristlet, providing 24-hour fall detection service, is discussed in [x-, y-, and z-axes are experiencing free fall, 0\u2009g pin (6th pin) will generate a high voltage which can be used to detect person fall. This signal is given to the interrupt pin of microcontroller in order to give highest priority to this event.ussed in . The aboussed in . MMA 736Embedded technology is implemented to perform a specified task. The programming of PIC 16f877A microcontroller is done using embedded C . This isBluetooth wireless communication has the advantage of higher data rate and easy interfacing with personal digital assistant such as a smart phone or a tablet PC. JYMCU HC-05 Bluetooth Module is used in this work which connects to the embedded platform for wireless transmission. Bluetooth module is connected at the software serial port of the microcontroller.Android Studio IDE is used to develop the application for tablets/smart phones with Android Operating System . AndroidA low cost high performance tablet PC (Digiflip XT 811) with Kitkat 4.4 operating system is used in this work for real time implementation. Tablet PC has the advantage of large screen size and better functionality compared to a mobile phone. The android application receives the data transmitted from the body sensor unit via bluetooth communication facility. An android application developed for tablet PC is used for the purpose of real time acquisition of data, comparison with threshold value, storage in SQL database, and alert mechanism generation using SMS facility.The android application initiates GPS services provided by the mobile phone network. While executing the subroutine for fall alert the developed android application collects location information via services given by the network provider or GPS provider. Information such as latitude, longitude, and exact address are collected by proper subroutines. This information is sent along with the text of fall alert message.The examinations have been carried out in Rural Primary Health Center in Andoorkonam, Trivandrum district of Kerala, India. The measurements were authorized by the Office of the District Medical Officer. Patients having Blood pressure variations or under medication for hypertension were directed by the medical officer for measurement. Overall 291 patients including healthy staffs in the PHC have been included.The aim of the validation of the device is to understand the reliability of the data obtained using the wrist sensor. The study also aims to get the feedback of the patients under test about the wrist sensor for blood pressure measurement. The study was conducted at a rural Primary Health Center in Trivandrum and the procedures in this study were approved by the District Medical Officer (DMO) and the medical officer, Andoorkkonam. The study was conducted in accordance with guidelines provided by the medical officer and under the supervision of two trained staff nurses. All subjects were informed and got consent for this study.291 subjects suspected to have hypertension/under medication for hypertension were suggested for BP measurement by the medical officer. 113 male subjects and 178 female subjects were first measured by the sphygmomanometric method and then by the digital wrist sensor based on oscillometric method. Hardware setup is shown in Age frequency plot of males and females in different age groups under study are shown in The same subject was asked to take measurements using the wrist sensor also. The sensor was suitably positioned at the heart level in order to eliminate errors caused by position artifacts. The pair of data were used for validation of the wrist sensor. The statistical analysis was done for systolic blood pressure and diastolic blood pressure using Bland-Altman method.The system was tested in a practical environment and found to be most successful. The information was transmitted successfully to the tablet PC and stored in the SQL database by the developed android application. Patients with hypertension were correctly identified and automatic alert messages were generated and sent to the medical officer by the developed android application. Low blood pressure conditions (SBP below 90\u2009mm of Hg and DBP mm of Hg below 60) were also identified. Normal and high body temperature were identified and transmitted to the tablet PC via bluetooth module.Screen shots of outputs obtained are shown in The validations were carried out largely according to the recommendations of the Association for the Advancement of Medical Instrumentation (AAMI). AAMI recommends the inclusion of a larger patient number and a greater number of subjects in an older age group in order to test the monitors' performances over a wider range of patient characteristics. The criteria require device to observe discrepancy within 5 \u00b1 (8 s.d.)\u2009mm of Hg for mean difference and standard deviation.Bland-Altman analysis was carried out to show the agreement between the two tests. The scatter plot of difference and average of SBP and DBP taken by wrist sensor method and sphygmomanometric method of female population and male population are shown in The accuracy of wrist sensor is calculated by identifying true positives, false positives, true negatives, and false negatives. The obtained accuracy is shown in The aim of this comparison was the analysis for clinical suitability of the wrist blood pressure sensor for family and community health care application. A comparison was done with sphygmomanometric method, which served as a reference device because of its wide distribution and acceptance. The parameters under investigation were the systolic and diastolic blood pressure.The trials showed satisfactory acceptance from the patient side because of the low discomfort caused by the wrist blood pressure sensor. Bland-Altman analysis shows very good agreement between the two methods of measurement.Wrist blood pressure sensor is more suitable in subjects with obesity having large arm sizes. Wrist blood pressure sensor does not require patients to remove clothing while taking measurements and it provides less discomfort compared to arm cuff monitors during inflation.The measurement taken at any time is successfully transmitted to the tablet PC and is stored in the SQL database of the android phone/tablet by the developed application without any manual intervention. This enables the medical officer to ascertain whether a drug is effective or not. The developed system is less expensive and causes less inconvenience for the patients.The validation conducted for the oscillometric wrist technique yields good results which shows good correlation between the BP readings taken with a sphygmomanometer and oscillometric wrist sensor. Patient's opinion about wrist sensor was promising. The device passed the AAMI criteria for SBP and DBP measurement except for male systole data. This study suggests that wrist devices can produce reliable and accurate results. The principal easiness of wrist blood pressure sensor based on oscillometric methods offers the opportunity for wide spread use. This may ultimately lead to an improvement in common efforts to prevent hypertension.A modern approach of health monitoring and management is put into practice by the experiment conducted using the developed system. The ever-increasing workload of physicians can be significantly reduced by the use of such systems."}
+{"text": "Early and effective chest compressions have a well known pivot role in cardiopulmunary resuscitation (CPR) and 2010 International Consensus on Cardiopulmonary Resuscitation have strongly reinforced its importance.The efficacy of chest compressions depends on hands position and on compression technique.Medical education can improve chest compression technique, while the choice of thoracic landmark is always blind even if 2010 consensus indicated that it is reasonable to place the hands in the lower half of the sternum.Critical care ultrasound (CCUS) has changed the approach of critical ill patient and can identify potential reversible causes of cardiac arrest during CPR.Our challenge is to use CCUS to locate the most appropriate site for chest compressions.We planned a pilot study (in progress) to evaluate the capability of CCUS to improve the quality of chest compressions while CPR is taking place.We describe data of a small case series from 6 non traumatic cardiac arrests who was treated both in-hospital and in pre-hospital settings.In 3 out of 6 patients compressions were correctly performed while in the other 3 cases partials left ventricle compression or the narrowing of the base of the heart and aorta was observed. Ultrasound guided changes in hands position improved passive left ventricle contractility in the 3 incorrect CPR.Our study doesn\u2019t permit to estimate if the changes made in hands position would have affected the outcome of CPR.Anyway we think that the possibility to focus the power of the hands over the real position of left ventricle certainly improves the quality of our chest compressions."}
+{"text": "A 66-years old man suffering from coronary artery disease appeared without symptoms for routine follow-up in our clinic.The echocardiogram revealed a tumorous mass of the right atrium and right ventricle. In the past, coronary revascularization with venous grafts of the right coronary artery and circumflex artery as well as internal mammaria graft to the left anterior descending artery was performed 20 years before. The general clinicians presented the case to the surgeons and it was decided to perform cardiac MRI as a preoperative diagnostic modality.Following cardiac magnetic resonance imaging (MRI) showed a mass in the pericardium in the right atrioventricular groove with thrombotic material. Due to the MRI the patient underwent coronary angiography to confirm an aneurysm.The learning points from this case are that cardiac MRI is a very useful tool for further evaluation of suspected cardiac masses and should be performed for further characterization. Spontaneous bypass aneurysm is a rare complication of coronary bypass revascularization (Hiraoka et al. The learning points from this case are that cardiac MRI is a very useful tool for further evaluation of suspected cardiac masses and should be performed for further characterization and planning of therapeutical options, particularly after previous cardiac interventions (Hiraoka et al. Written informed consent was obtained from the patient for publication of this case report and any accompanying images. A copy of the written consent is available for review by the Editor of this journal."}
+{"text": "Manual analysis of abundant behavioral data produced by automated systems for long-time monitoring of a group of animals is extremely inefficient and error prone. Some systems (like IntelliCage\u2122) are shipped with software enough for basic analysis of the data, however lacking flexibility for more advanced analyses.\"let the computer do the work\"), therefore reducing number of possible human errors. The other advantage of such approach is that modern computers are both faster and more precise than humans when dealing with numbers.To facilitate research reproducibility, same analysis of same data should always yield same results. One (possibly the best) way to achieve such robustness is to have the process automated and a data abstraction layer - therefore shifting ones focus from the form the data is provided to the data itself. A simple analysis can be performed in just a few lines of readable source code (see Figure"}
+{"text": "The mechanisms that allow biological networks to recognize temporal patterns of spikes that encode sensory inputs are unclear. Here we extend our previous work , using aGReaNs implements a genetic algorithm to obtain the topology of the networks (and the weights of the synaptic connections), starting from a population of networks of neurons connected randomly. The encoding of the neural networks in the genome is inspired by the encoding of genetic networks in biological genomes; neurons in GReaNs are modeled as either leaky integrate and fire neurons with a fixed threshold (LIF) or adaptive-exponential integrate and fire neurons . The numIn the computational task we consider, the network has several input neurons and one output neuron. A spike or burst received by an input neuron corresponds to a certain symbol . The output neuron should be active only after the network receives a certain sequence of symbols .Our preliminary results with LIF networks with a fixed threshold networks suggest that the presence of recurrent connections in the network allows the interneurons to reach plateau subthreshold states that provide a memory of what symbols have been received thus far. Here we will investigate the robustness of this solution to noise in the network, and then discuss the possibility to extend the paradigm to evolve spiking networks to accept regular languages."}
+{"text": "Hearing loss\u2014ranging from mild to severe\u2014afflicts large numbers of individuals of all ages. It is estimated that 40\u201350% of adults over the age of 65 years have some degree of significant hearing loss, with this figure rising to 83% of those over the age of 70 model in which they stress the importance of working memory for online spoken language processing, especially under poor listening conditions to assess white matter integrity (Rachakonda et al., Together, these collected articles reflect a valuable sample of current approaches to our understanding of the effects of hearing loss on neural and perceptual processing. A theme that emerges from both the human and animal studies in this collection is that of an adaptive plasticity in the sensory, perceptual and cognitive systems that regulates performance in the face of often seriously degraded input. Challenges for future research include better understanding the link between neural consequences of hearing loss and other modifications of acoustic input (Van Engen and Peelle, The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "We review some recent cognitive models based on generative networks, and we point out promising research directions to investigate neuropsychological disorders within this approach. Though further efforts are required in order to fill the gap between structured Bayesian models and more realistic, biophysical models of neuronal dynamics, we argue that generative neural networks have the potential to bridge these levels of analysis, thereby improving our understanding of the neural bases of cognition and of pathologies caused by brain damage.Connectionist models can be characterized within the more general framework of probabilistic graphical models, which allow to efficiently describe complex statistical distributions involving a large number of interacting variables. This integration allows building more realistic computational models of cognitive functions, which more faithfully reflect the underlying neural mechanisms at the same time providing a useful bridge to higher-level descriptions in terms of Bayesian computations. Here we discuss a powerful class of graphical models that can be implemented as stochastic, generative neural networks. These models overcome many limitations associated with classic connectionist models, for example by exploiting unsupervised learning in hierarchical architectures Despite the enormous progress in the prevention and treatment of neuropsychological disorders, traumatic brain injury and stroke are still among the major causes of adult disability and death models investigated through this approach, many PDP models suffer from serious limitations. In particular, connectionist models are often trained in a supervised fashion using error backpropagation, but the assumption that learning is largely discriminative and that an external teaching signal is available at each learning event is implausible from a cognitive perspective through feedback connections and Hebbian-like learning mechanisms ? How do learning regularizers compare with respect to organizational principles of biological neuronal networks?Can we improve lesioning studies in PDP models by taking into account structural and functional properties of the network? Could deep learning systems exhibit the same universal resilience patterns observed in other types of complex networks (Gao et al., AT and MZ equally contributed to the conception and writing of the manuscript. AT and MZ are accountable for all aspects of the work in ensuring that questions related to the accuracy or integrity of any part of the work are appropriately investigated and resolved.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Brain-computer interfaces (BCIs) can provide a means of communication for people with severe motor impairments . For peoThis abstract describes multimodal P300 BCI communication attempts performed with a 42-year-old male who had an intracranial hemorrhage of the cerebellum and brainstem one year prior to the measurements. The participant is paralyzed except for residual eye blinking and movement as well as some movement of the left hand. This residual muscular control is used for communication .Many pitfalls were encountered when attempting to establish communication. The main aspect is that when we performed the same task at different time points the results varied considerably (see Figure Albeit the fact that the attempts with the brain-computer interface was not successful in establishing free communication, the classified responses were clearly above chance. This illustrates that the user understood the instructions and has the physiological capacities to generate the responses required to operate the system. The fluctuations of vigilance experienced by patients with disorders of consciousness must be taken into account when developing new generations of BCI systems."}
+{"text": "There is an error in the fourth sentence of the first paragraph of the Conclusions section. The correct sentence is: This pattern may be observed in other large lakes with spatial and temporal variation in vertical mixing patterns. There are few large lakes where time series of in situ observations encompass a wide enough range of locations to estimate spatial variation in warming rates."}
+{"text": "The K13 gene mutations have been found to be associated with artemisin resistance in Cambodia, although the relevance of these mutations on artemisinin resistance in other endemic areas have to be better documented. We present here new data on K13 mutations and on the artemisinin resistance outside Cambodia. We propose to open the discussion about how these new findings have to be interpreted regarding the emergence and spread of artemisinin resistance and their usefulness to identify and prevent the spread of resistant strains in order to reach the malaria control and elimination global program goal."}
+{"text": "Recombinant human growth hormone (GH) has been used as an effective treatment for short stature since the late 1980\u2019s. Although clinical trials were crucial in developing GH treatment strategies, database analyses have the potential to provide additional information with regard to treatment efficacy and safety. The OZGROW database was established in 1989 as an initiative of the Australasian Paediatric Endocrine Group (APEG) to allow monitoring of children receiving GH under the national Pharmaceutical Benefits Scheme (PBS). There are currently (June 2014) 1948 children receiving subsidised GH treatment in Australia and the OZGROW database contains records from 6959 individuals. This unique resource has allowed a number of clinically relevant questions to be addressed.Defining short stature and therefore eligibility for GH treatment relies on the use of appropriate growth standards. There has been debate as to whether the World Health Organisation (WHO) or the Center for Disease Control (CDC) growth charts best describe the heights of contemporary Australian children. There appears to have been a positive secular trend for height in Australian children such that both charts under-estimate the number of children eligible for growth hormone treatment.Ascertainment bias has been proposed as an explanation for the fact that more boys than girls receive GH treatment. Analysis of the OZGROW database demonstrated that ascertainment bias did not appear to be a major factor explaining the gender discrepancy. It is possible that biological factors influencing the tempo of growth and development may contribute to the greater number of boys receiving growth hormone.Another issue that has complicated comparisons of international studies of growth hormone response has been the different dosing schedules used. A simple method for converting weight and surface area based doses was therefore developed. Further analysis suggested that the surface area based protocol used in Australia may disadvantage older children, given that the dose per kilogram reduces over time even if the dose per meter squared remains constant.The importance of commencing GH treatment early and maximising height gain during the first year of treatment was also highlighted by analysing GH responsiveness in a number of conditions including Turner syndrome, Prader-Willi syndrome and idiopathic short stature. Ensuring that referring physicians are able to diagnose these conditions in a timely fashion therefore remains a priority.Although the OZGROW database has allowed clinically relevant questions to be studied there remain a number of challenges, particularly with regard to long term follow up."}
+{"text": "Community Care Centres (CCCs) represent an innovative response to the containment of infection and the care of those infected in the context of an an Ebola Virus Disease (EVD) outbreak of unprecedented scale. This paper describes the implementation of this response in the Port Loko district of Sierra Leone in the last quarter of 2014. CCCs were effective in encouraging EVD patients to come forward, thus removing risk of transmission to their families and communities however there is significant scope for improvement in care for patients in the centres if the model is applied in future outbreaks of infectious disease. Changes in lay out of the centres, in staff training and support, in logistics and patient education are recommended. Sierra Leone has borne a significant burden of the ongoing EVD outbreak in West Africa. As of 25th February, 2015 the country had reported a cumulative total of 11,301 cases and 3,461 deaths (CFR 31%) making it the worst affected country in the history of the disease [A CCC is a community-based Ebola isolation unit where suspected and probable cases of EVD are isolated and provided with basic health care as they await their confirmatory test results. They also serve as places where confirmed cases can commence early treatment as they await transfer to bigger ETCs. They are small, low technology, mainly staffed by nurses and community health workers and can accommodate 8 to 10 maximum 15) patients. They focus on supportive management of patients; invasive procedures (except for collection of blood samples for EVD confirmatory test) are discouraged to reduce the risk of health facility acquired infection. The objectives of CCCs are to among others complement conventional ETCs by early isolation of EVD cases as close as possible to their communities and to improve access to Ebola care among the general populations especially for those in rural areas. The basic package of care offered at CCCs include presumptive treatment for malaria, supportive therapy such as management of fevers, body pains etc., provision of Oral Rehydration Solution (ORS), food, water and psychosocial care among others [ patientsCCCs were of two forms; frequently they were improvised around existing permanent structures, for instance the CCC in Lunsar was established within a hospital. In other circumstances CCCs consisted entirely of temporary shelters (tents) constructed on a new site. The centres were clearly identifiable at a distance as CCCs, were peripheral to or outside of a village, they required access to a water source for cleaning and washing, and were well demarcated from the surrounding community by a perimeter fence usually made of plastic sheeting. The CCCs had separate access points for staff arriving for work and for patients presenting for assessment. The centres had triage areas constructed with at least one metre separation between patient and staff areas. The triage area opened into a patient area (red zone). Movement to and from the triage zone to the red zone was variably controlled and frequently allowed movement in both directions. The red zone consisted of two or more separate spaces, either rooms within existing permanent structures or tents which were intended as cohort areas for two different categories of patients, those most infectious and those likely to be less infectious. There was generally no effective barrier to movement between these cohort areas within the red zone. The red-zone included patient latrines and shower facilities. In some cases communal traditional thatched shelters were provided in each cohort area for patient comfort. The red-zone included soak pits for effluent from showers. There were three exits from the red-zone, one to a mortuary area, one for those discharged from the CCC to the community and one through a PPE doffing area for staff leaving the red zone. The staff entrance to the CCC opened into the \u201cgreen zone\u201d where there were staff facilities including latrines and changing area. These facilities were in existing buildings or temporary tents. The green zone also included storage areas and staff rest areas. There is an entrance, typically gated, from the green zone into the red zone. Typically close to the exit from the red zone there was a pit for disposal of used PPE and other waste.Patients presented to a triage area either on foot or by ambulance. Staffs were expected to assess patients presenting by application of a triage algorithm. Those assessed as requiring admission then entered the patient area (red zone). Patients were confined to the red zone until such time that a blood test for detection of Ebola virus was available. The interval from admission to receipt of a laboratory report varied from approximately three to seven days. Patients who were well enough could move freely within their cohort area, sometimes between different cohort areas within the red zone and sometimes between the red zone and the triage area. Typically staff entered the red zone 3 times per day for periods of 30 to 60 minutes on each occasion. During the visits the condition of patients was observed, ORS, water and food was provided and cleaning performed. When patients\u2019 test reports were received those who tested positive were transferred to EVD treatment centres as soon as possible and those with reports of EVD not detected were given a certificate and allowed to leave or provided with transport home.The CCC model was implemented rapidly in response to unprecedented pressures with a view to controlling ongoing community spread of EVD. Despite concerns raised by several partners about conducting EVD case management in such low technology setting, recent scientific evidence and field experience showed that the strategy has considerable potential for EVD outbreak prevention and control. Kucharski et al. in their recently published article demonstrated that CCCs could reduce EVD transmission in the community if well managed and all things are equal . Logan eThe concept was however not without its challenges. The small size of the units meant that they could only admit limited number of patients whilst the use of cadres of health workers with lower levels of qualification such as community health workers meant that more intensive training, support supervision and monitoring of the infection prevention and control practices was required. Although training was provided on site before opening of CCCs, ongoing training and close supervision of their operation was limited by the relatively remote locations and by the limited number of available IPC specialists. There were also significant supply chain issues resulting in intermittent shortages of drinking water, oral rehydration solution and items of personal protective equipment. Observation of practice within the CCCs suggests that messages to health care workers regarding self-protection at work were well received but balancing this requirement with the need to provide an appropriate level of patient care was less satisfactory. Our observations indicated that even in full PPE many staff would still avoid even minimal physical contact with patients who were too weak to stand or walk and too weak to drink ORS. The force of the message regarding self-protection may also have contributed to the long periods during which no health care workers were present in the red zone leaving debilitated patients to care for themselves or dependent on informal care from other patients. In practice our observations showed that half or more than half of patients admitted to CCCs may not have had EVD at the time of admission. Thus an unintended consequence of the CCC model was that many patients who did not have EVD were potentially exposed to the risk of acquiring EVD in the CCCs for extended periods of up to seven days or more, however this was also the same in the conventional holding centres. The provision of staff supervision in patient areas (which in many cases included minors) and of delivery of an appropriate level of care for critically ill patients with the CCC model was problematic because of the limited time during which staff were present in the red zone and the over whelming emphasis on self-protection in training. Our observations are based on implementation of the CCCs in rural and semi-urban settings; its applicability to urban settings where the community structures are different and transmission (and patient load) are likely to be higher may be tricky due to two main reasons. Firstly since the strategy is based on the principles of community ownership and participation and given that such structures are not well defined in urban centres, community participation in the process may be limited. Secondly, the limited number of beds in the CCC may not be able to cope with the patient load in a high transmission outbreak in an urban area.In conclusion, there is some evidence that the use of CCCs to isolate EVD patients in defined areas may have contributed to control of transmission in Port Loko, however there were unintended consequences associated with its roll out. Furthermore, a recent rapid assessment of the CCC concept which was conducted in six districts of Sierra Leone also highlighted key benefits of the concept . The use"}
+{"text": "Health professionals need to be integrated more effectively in clinical research initiatives to ensure that research addresses key clinical needs and provides practical, implementable solutions at the coal face of care. The recent McKeon review of Health and Medical Research in Australia suggested that the best way to achieve practical and implementable solutions in healthcare is to involve the health-delivery workforce in research to ensure that research addresses key clinical needs . Through"}
+{"text": "Dear Sir:We thank Rebaudet and others for independently confirming the value of cholera DNA preservation on filter paper and its suitability for molecular analysis. These two studies highlight the benefits of being able to store samples at room temperature for extended periods without risk of specimen compromise, as well as the ability to transfer and ship samples without a cold-chain requirement or risk of biohazard. This reduces the need for advanced laboratory capacity in cholera-prone areas while eliminating transportation issues. Moreover, the methodology can be combined with the use of the cholera rapid dipstick test to provide immediate results confirmed by subsequent detailed (but delayed) molecular confirmation. We are also exploring the use of the filter paper with fecal sample directly, and agree this further simplifies the process under field conditions."}
+{"text": "We observed that only 20% of the recorded neurons accounted for 80% of the total information flow in these networks (see Figure rich nodes. The rich nodes were characterized by a higher firing rate, and graph theoretic analysis revealed their participation in a number of highly non-random network features. The networks were highly clustered with small average path lengths and thus exhibited small world attributes and the sub-network formed by the rich nodes was more efficient than the rest of the network. The networks also exhibited a central core of rich nodes which persisted even when the rest of the nodes in the network were peeled away. The rich nodes were also connected to each other more strongly than expected by chance giving rise to the rich club effect, observed for the first time in effective connectivity networks of individual neurons (see Figure Elegans [Structural and functional connectivity of macroscopic brain regions has been very widely researched in the l Elegans .Our find"}
+{"text": "Oxytocin is a key molecule in social behavior. A recent study reported lateralized oxytocin signaling specifically in left auditory cortex during pup-retrieval behavior of female mice.Brain asymmetry shows great advantage in evolutionary adaption to the environment significantly facilitated the process 1 day). In single housed virgin female mice, oxytocin signaling was sufficient to induce the maternal behavior. Given the important roles of pup calls in triggering the maternal behavior, Marlin et al. examined the expression of oxytocin receptor (OXTR) in the auditory cortex. They then identified large population of OXTR expressing interneurons, suggesting for a potential role of oxytocin in disinhibiting the auditory cortex is dominated in the right brain (Ross et al., Knowing that oxytocin signaling lateralization is important for maternal behavior raises a new set of questions. What determines the asymmetrical distribution of oxytocin receptor expression between left and right cortical areas? Which cortical area is crucial for each types of maternal behavior and how does oxytocin facilitate the learning process? What other signaling molecules or neural circuits might the brain use for maternal behavior in parallel? How are these maternal cues encoded in infant's brain? The answers to these questions will lead to the further understanding of the most generous love\u2014mother love.TY and GH designed the study and wrote the paper together.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "SUI is a common and distressing condition affecting 3 million women in the UK. As part of the multicentre NIHR HTA funded SIMS study we are evaluating the acceptability and correlation of two patient tests of SUI -the objective 24hr pad test (PT) and the subjective home continence stress test (HCST).Participants (n=197) were given sufficient standardised, pre-weighted incontinence pads to wear for 24hrs (changing when necessary) and two large tissue sheets. Used pads were returned to the study team in sealed plastic bags on the day of surgery for weighing and disposal. The tissue sheets were used as part of the HCST conducted before and after the pad test. Participant feedback on both tests is being collected.Results will be presented reporting response rates to both tests and comparisons between responses to the PT and the HSCT.The acceptability to participants and the advantages and disadvantages of each test from a trial management perspective will be discussed. Data collection challenges will be considered including; issuing of pads to sites and participants, the receipt (including the handling and delivery) of used pads and the decision process around which data to use in analysis when responses are available to both tests. Cost implications of both tests will also be presented."}
+{"text": "Current available in vitro tests including the lymphocyte toxicity assay (LTA) and the lymphocyte transformation test (LTT) are cumbersome and expensive, and their predictive values are undefined. We have recently developed a novel in vitro diagnostic test for DHRs, the in vitro platelet toxicity assay (iPTA) to test patient susceptibility to DHS. The aim of this study was to evaluate the predictive value of the iPTA in diagnosis of DHRs to sulfonamide antibiotics.Drug hypersensitivity reactions (DHRs) are rare but potentially fatal types of adverse drug reactions (ADRs) that develop in susceptible patients following exposure to certain drugs including sulfonamides. The diagnosis of this type of ADRs is challenging and currently depends on clinical expertise. A safe and reliable We have recruited 66 individuals to participate in the study. The DHR cases were referred and diagnosed based on rigorous internationally accepted criteria. Blood samples were obtained and both LTA and iPTA were performed independently. Results were then analyzed to determine the degree of agreement between the likelihood of the occurrence of the reaction as determined clinically and the performance of the two diagnostic approaches.in vitro toxicity (p<0.05).There was concentration-dependent toxicity in the cells of patients when incubated with the reactive hydroxylamine metabolite of sulfamethoxazole for both the LTA and iPTA (p<0.05) and toxicity was significantly greater for the cells of patients versus controls (p<0.05). The tests had a high degree of agreement (correlation coefficient: R2 = 0.97). The iPTA was significantly more sensitive than the conventional LTA test in detecting the susceptibility of patient cells to The novel iPTA has considerable potential as an investigative tool for DHS as it is cheaper to perform and requires no special reagents that make it an excellent candidate for wider use. The iPTA has also a greater sensitivity in detecting patients with predisposition to develop DHRs to sulfonamides and other drugs and thus can be used to screen for susceptible patients prior to drug prescribing and during drug development process."}
+{"text": "Biologic therapy has not made the breakthrough in the treatment of patients with systemic lupus erythematosus (SLE) that it has managed in patients with rheumatoid arthritis and psoriatic arthritis. However, there are distinct signs that this form of treatment is going to find a place in the pantheon of SLE therapy. Based on a better knowledge of the ethiopathogenesis of lupus drugs, which interfere with B cell activation notably, Benlysta and Atacicept have been reported in major clinical trials to be successful in terms of controlling disease activity and preventing flares respectively. In addition, although the formal clinical trials did not meet their primary endpoints the use of B cell depletion in the form of rituximab is widely accepted and appears to be helpful and highly beneficial in aspects of lupus ranging from skin disease to severe proliferative glomerulonephritis.My colleagues and I have treated 120 lupus patients with rituximab and have reported that 90% of patients are in partial or complete remission at six months , though some questions remained unanswered. For example, why is it in some patients B cells return within two months and in other cases it may be many years? In addition, once the B cells have returned there is a highly variable length of time before the clinical features return. In spite of disappointing results with major clinical trials, at least two new clinical trials using rituximab, are about to start recruiting, the RING trial for patients with lupus nephritis who failed conventional therapy at six months and RITUXILUP which aims to treat lupus patients at the time of diagnosis with two infusions of rituximab followed by a low dose of mycophenolate the state of aim avoiding the use of oral steroids. In an open label study of 50 lupus nephritis patients given rituximab at the time of diagnosis followed by low dose mycophenolate, Condon et al (Ann Rheum Dis 2013. In press) have reported that just two out of 50 patients after two years have required oral steroids.None declared."}
+{"text": "The mammalian nervous system can adapt to the challenges of life through neural plasticity. The brain will undergo extensive reorganization following sensory deprivation or damage to afferent pathways Kaas, . This plAge at implantation plays a substantial role in performance with a CI. Research has shown the existence of an early critical period for brain development and demonstrated how deprivation-driven functional changes in the cortex are affected by age. Cats that were implanted after the fifth month of age had smaller activation areas of the auditory cortex, compared with cats implanted earlier, even when they had longer experience with implant (Kral et al., In humans, the latency and morphology of the P1 component of auditory-evoked potentials can serve as a biomarker for the development of the central auditory pathways (Sharma et al., Despite the dominant role of age at implantation, experience with a CI also induces functional changes in the auditory system\u2014at both peripheral and central level\u2014stressing the importance of a post-implantation rehabilitation period (Sandmann et al., Returning to the parallel between visual and auditory deprivation, studies on critical period and visual implantation are still not possible as retinal implants are currently only available to adults. However, several questions arise, for instance, can we observe a similar benefit when implanting during the sensitive period for retinal implants? As hearing aid use correlates with positive CI outcomes (Lazard et al., In sum, both the time spent in a deprived state and acquiring sensory experiences matter for the brain to cope with the challenges of change. Stimulating the impaired sense as much as possible and restoring it as soon as possible within the cut-off period shall maximize the benefits from implantation.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Recent review of Bidulescu and colleagues\u2019 article on the association between vitamin D and adiponectin and its relationship with body mass index in African-Americans, as compared to Whites, reinforced the value of conducting stratified analyses using more resolute subpopulation/subgroup data . AlthougThe author declares that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Authors Wagner et al. in your journal demonstrated effectiveness of mechanical chest compressions in the coronary catheterization laboratory to facilitate coronary intervention and survival in patients requiring prolonged resuscitation efforts. We dare to comment on this article and advocate to use mechanical chest compressions only as a bridge to extracorporeal membrane oxygenation to completely substitute failed circulation and enable percutaneous coronary intervention or other procedures to treat the cause of cardiac arrest. In line with an increasing interest in rescuing patients from refractory cardiac arrest by means of routine implementation of mechanical devices, we have read with a great interest an article by Wagner et al. in your"}
+{"text": "Patient and public involvement (PPI) in research involves the active contribution of members of the public in research studies and within research organisations. PPI is important in ensuring the relevance and quality of general health care research. Funders often now request evidence of prior and future planned PPI in health research.The impact of PPI on various aspects of study development and delivery has been described, from study design through to the dissemination and implementation of study findings. Research, however suggests that PPI is inconsistent in terms of levels of engagement, quality and reporting. Within clinical trials variations in intentions and plans for PPI and the experience and impact of such involvement have been identified. Additionally resources to support PPI in clinical trials are often not used in practice. The University of Liverpool Clinical Trials Research Centre PPI working group decided to design a web based toolkit designed to support the PPI activities in clinical trials. The toolkit will signpost chief investigators and trial teams to a range of tools. The tools are designed to facilitate meaningful and effective PPI at all stages of a clinical trial.The development of the toolkit involves:\u2022 Describing the PPI pathway through a clinical trial\u2022 Identifying existing internal and external resources to support PPI\u2022 Identifying additional required resources\u2022 Evaluating the use the resources\u2022 Disseminating information about the use and impact of the resources and making improvements and modifications to them based on our experience.The results of developing this toolkit will be presented."}
+{"text": "In this study we propose to investigate the effect of the neovascularisation and blood flow to the sternum and surrounding tissues in diabetic & non-diabetic patients by using a laser Doppler imager. The reasons for the delayed healing are not entirely clear, but are thought to include both mechanical factors such as poor wiring of the breastbone during surgery, and biological factors related to the interruption to the blood supply to the sternum and surrounding tissues associated with the procedure.To assess the role of neovascularisation in diabetic & non-diabetic following coronary artery bypass graft (CABG) surgery using Laser Doppler Imager.Patients were divided into two groups as diabetic & non-diabetic had undergone CABG (30 patients). Sternal microcirculation measurements were taken by using a Moor LDI laser Doppler imaging system, at ten time points (pre-induction to 96 hours after bypass). The regional blood flow was estimated by measuring the Doppler shift of laser light caused by blood cells passing within the laser light field. Blood samples were taken for the analysis of number of factors.Results: The neovascularisation and wound healing were comparatively faster in non-diabetic surgical patients than diabetic group. New vessel formation from the right internal thoracic and intercostal arteries to the left side confirmed that the vascular supply of the sternum on the left side following CABG surgery was not entirely depended upon the left internal thoracic arteries. This is due to secondary changes in diabetic patients on vascular system.There was a formation of new vessels from right side of the sternum following the mobilization of left internal thoracic artery in CABG surgical patients. The healing process was faster in non-diabetic CABG surgical patients."}
+{"text": "Careful attention to clinical phenotypes can identify new diseases which are now amenable to molecular genetic elucidation. In the late 1980's I met a family labelled as having Huntington's disease but with absence of dementia. Scanning revealed unusual cavitation of the basal ganglia. The pedigree was extended my connection to a second family using birth records. We mapped the gene to chromosome 19 and went on to identify an unusual mutation in the E helix of light chain ferritin. Staining for iron revealed huge accumulation of iron/ferritin complexes in the brain leading to neurodegeneration. We named the condition neuroferritinopathy and tested desferrioxamine without success. We have shown that accumulation of iron commences in childhood and are now preparing to test deferiprone as an iron chelator which crosses the blood brain barrier."}
+{"text": "Action Plan for the Prevention, Care, and Treatment of Viral Hepatitis in the United States. Although care and treatment can be life-saving, many of the 3 million persons estimated to be living with hepatitis C virus (HCV) infection are unaware of their infection and are not receiving preventive services and medical management. In addition, an emerging epidemic of HCV infection among a new demographic of persons who inject drugs is unfolding in several areas throughout the nation. Guided by the goals of the 2014 U.S. Department of Health and Human Services 9 in the The first report shows that trends in new cases of HCV infection are highly correlated with trends in substance abuse treatment admissions for opioid dependency and opioid injection in four states in the central Appalachian Region. The second report describes strategies for integrating HCV testing into primary care settings. These reports demonstrate how data can be used to identify patterns of risk for HCV transmission among persons who inject drugs and how programs can be successfully implemented to identify persons disproportionately affected by HCV infection and ensure they receive appropriate medical care and treatment."}
+{"text": "Research on human brain development has seen an upturn in the past few years due to increasing use of noninvasive neuroimaging tools for studying the anatomy and function of the developing brain. Here we gathered innovative studies of human brain function and development using magnetic resonance imaging (MRI), near infrared spectroscopy (NIRS) and magnetoencephalography (MEG) with experimental paradigms suitable for pediatric research. These modalities are without significant risk to the developing brain, generally require minimal patient preparation, and are well tolerated by children when performed by experienced teams. A review of recent studies of human brain development using these advanced neuroimaging tools is quite timely, since we are witnessing advances not only in the instrumentation optimized for the pediatric population, but also in research focused on the human fetuses in utero, neonates, and older children. MRI methods such volumetric T1 imaging and Diffusion Tensor Imaging (DTI) are being used more frequently in children to determine the gross anatomy and structural connectivity of the developing brain. Functional MRI and NIRS are being used to assess the hemodynamics of neurovascular responses and functional localization in development (Govindan et al., The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Monitoring of services in the National Health Service in England is framed around clinical outcomes, safety and patient experience.A system of dashboards is being developed to provide monthly information about specialised services. The initial pilot has included a set of key information about services to patients with haemophilia and cystic fibrosis, for example the proportion of patients on home treatment (haemophilia) or the proportion admitted to a ward with specialist staff (cystic fibrosis). Data items were agreed by clinicians as relevant and important. The information is available from every provider.In the highly specialised services for very rare disease the dashboard runs annually, not monthly, and is based on long experience [Quality of life measures are used in some services such as epidermolysis bullosa and neurofibromatosis type 2 [Safety incidents such as \u2018never\u2019 events are rare; they are reported and investigated immediately.Patient experience is monitored through surveys and close contact with patient organisations.A key mechanism for monitoring quality in the highly specialised services is an annual meeting. Attendance by all providers of the service is mandatory. Clinical outcome data is presented on all patients treated, and interesting or informative cases are discussed by the clinical teams. The meeting provides an excellent forum for peer review, exchange of clinical experience and learning."}
+{"text": "From 1978 National Health System (NHS) primary care pediatricians (PdF) in Italy take care of infants and adolescents from birth until 14 (in selected cases 16) years of age . HoweverAnother objective of primary care pediatricians will be to structure shared programs with general practitioners (MMG) to favour the shift of care from the primary care pediatrician to the family doctor. It should be necessary to always support a well planned care transition between Pdf and MMG . This will enable the MMG to receive the complete information on the health of the patient as well as on social and relational aspects."}
+{"text": "From February 2012 until January 2014 an acute medical ward at a 600 bed tertiary hospital in Western Australia conducted an internal audit of youth and adult inpatient separations for patients admitted with complications of severe eating disorders. This cohort exhibited levels of severe malnutrition on par with or more severe than those managed in a specialist service in another state of comparable size, and may reflect the fact that Western Australia is one of only two states / territories in Australia that does not have a publicly funded specialist adult inpatient eating disorders program.Proposals for development of a state wide comprehensive specialist eating disorders service for youths and adults in Western Australia must take into account a potential legacy of decades of under investment in this area of health care, and potential barriers to optimising nutritional recovery within the confines of an activity based funding framework.Service Initiatives stream of the 2014 ANZAED Conference.This abstract was presented in the"}
+{"text": "This is the official guideline endorsed by the specialty associations involved in the care of head and neck cancer patients in the UK. It discusses the role of the clinical nurse specialist in the head and neck cancer patient journey and provides recommendations on the clinical nurse specialist led assessments and interventions for this group of patients receiving cancer care.\u2022 All cancer patients should meet a clinical nurse specialist at the point of diagnosis. (R)\u2022 Clinical nurse specialists must act as gate keeper to the patients' cancer pathway to provide a seamless journey. (R)\u2022 Holistic needs assessment should be completed at different stages of the patient's pathway to reflect the changes of the patients' needs. (R)\u2022 Clinical nurse specialists to be part of local and national initiatives for health promotion and raising awareness in the public domain. (G)\u2022 Clinical nurse specialists should lead in redesigning of services and policies to ensure they are responsive to patient's needs for the future. (G)\u2022 Treatment summaries should become part of practice to provide good communication between primary and secondary care to enable continuity of care for the patient. (G) A diagnosis of cancer leaves patients frightened and vulnerable, often unable to understand the full implication of the treatment they are being offered.Carers of patients with head and neck cancer are under considerable stress during and after treatment as a result of disruption to daily life, the financial and emotional strain of long-term treatment and in many cases, role reversal within the family unit. Patients and carers look to healthcare professionals to provide information to help manage the psychological and social elements of head and neck cancer.\u2013It is the function of the clinical nurse specialist (CNS) to give the patient and carer the wherewithal to cope with the diagnosis, treatment and long-term consequences through the use of empathy and experience.The National Institute for Health and Care Excellence Improving Outcomes Guidance\u2022Specialist technical knowledge of the cancer process and treatment options\u2022Acting as the patient\u2019s key worker for a specific part of the process and linking in with the MDT\u2022Utilising advanced communication skills to support the patient and carer psychologically through the disease process\u2022Lead on redesigning services to make them responsive to the patient's needs\u2022Health education and promotion to reduce the risk of recurrence and promote a healthy lifestyle\u2022Assisting in local and national initiatives to promote awareness and prevention.The CNS workload can be complex and varied dependent on the patient's needs, it can be categorised into themes:The CNS acts as the key accessible professional to the patient within this multiprofessional setting, and allows the CNS to influence the patient's pathway. They are well placed to support the patient at each stage of their pathway and promote integration within the team. The CNS should be recognised as the patient's advocate within the MDT meetings where they deliver patient-centred care tailored to the individual patient's needs. In acting as the patients' advocate, the CNS also plays a key role in ensuring that the multidisciplinary care is responsive to the patients' needs and preferences.Clinical nurse specialists increasingly take the lead role in shaping patient care pathways and refining systems to make a difference to the patient experience and their safety. By acting as the key worker,Patients and carers have always been at the centre of cancer services, but have not always been encouraged or empowered to help influence and shape them.The Cancer Planvs risks of treatment.Patients and carers now have a realisation that they have considerable influence in gaining access to treatments and medicines, can participate in the designing of clinical trials and influence the amount of money spent by central government on research.A diagnosis of cancer has far reaching effects beyond the patient to their loved ones. This life-changing experience means that relationships and roles and responsibilities can often be changed. Treatments for head and neck cancer can have devastating effects on the lives of patients, including disfiguration, speech and swallowing impairment.\u2022Holistic needs assessment\u2022Treatment summary\u2022Cancer care review\u2022Education and support events.\u2018The Recovery Package\u2019It also compliments stratified care plans, which enable individualised follow-up care and self-support. It facilitates urgent access back to the specialist team if needed or on-going support from healthcare professionals.\u2022All cancer patients should meet a cinical nurse specialist at the point of diagnosis (R)\u2022Clinical nurse specialists must act as gate keeper to the patient's cancer pathway to provide a seamless journey (R)\u2022Holistic needs assessment (HNA) should be completed at different stages of the patient's pathway to reflect the changes of the patients' needs (R)\u2022Clinical nurse specialists to be part of local and national initiatives for health promotion and raising awareness in the public domain (G)\u2022Clinical nurse specialists should lead in redesigning of services and policies to ensure they are responsive to patient's needs for the future (G)\u2022Treatment summaries should become part of practice to provide good communication between primary and secondary care to enable continuity of care for the patient (G)An HNA ensures that the patients' and carers' physical, emotional and social needs are met in a timely and appropriate way, and that advice and support is available from the right source at the right time.Different assessment tools are used, i.e. distress thermometer, concerns checklist and more recently the patient concerns inventory. The tools can be used at different stages along the patient trajectory, but with an emphasis being on assessing and eliciting patients' and carers' concerns and expectations. This leads to a discussion and care planning of the patients' needs and helps to manage expectations.Pre-treatment clinics provide an opportunity for patients and carers to meet the CNS and other allied health professionals prior to surgical or oncological treatment. It allows HNA assessment to take place, but also facilitates discussion of acute treatment and rehabilitation with the key professionals involved prior to commencement of such.A care plan is based on the diagnosis and holistic assessment of the patient.A key component to effective patient care is good communication between the primary and secondary care sectors. Making sure that general practitioners are fully informed about their patients\u2019 cancer journeys can ease the transition between acute and long-term care. For this to be effective, treatment summaries are provided at the end of any acute treatment by the MDT for the general practitioner and patient. The treatment summary describes the treatment that that person has received, including any adverse reactions, the side effects and signs and symptoms of recurrence. This treatment summary provides confidence to the patient that their care is continuing albeit in the community setting. Patients report feelings of abandonment and vulnerability once initial treatment is complete but with a treatment summary and care plan these feelings can be minimised. Patients' on-going self-management can be well supported through peer support groups and health and wellbeing events. The CNS is obliged to inform patients of what is available in the local area that may be accessed by the patient and carer.\u2022meet every patient at the point of diagnosis to assist in a smooth transition along the cancer pathway\u2022ensure effective communication within the MDT, with patient and carer and within the community setting\u2022be at the centre of the patient's pathway and make effective use of resources\u2022act as the patient advocate, utilising support groups to act as patient voices in the changing healthcare environment to make them patient-centred\u2022perform holistic needs assessment for all patients at diagnosis and specific points along their journey to ensure patient-focused care is being provided\u2022offer treatment summaries to all people involved in the patient's recovery to ensure effective communication\u2022offer individualised care plans to help patients take control of the recovery phase.Clinical nurse specialists should:"}
+{"text": "The past decades have witnessed tremendous growth in the use of biostimulants in agriculture and it is estimated that biostimulants will grow to $2 billion in sales by 2018 for biocontrol applications. The application of salicylic acid (SA) has been shown to have negative effects on plant productivity either as a result of direct toxicity or changes in allocation of assimilates to plant defense responses. This response was also observed by Ghazijahani et al. (Vergnes et al. used foli et al. who noteMany biostimulants contain simple and complex carbohydrates that when applied to plant may alter metabolism by directly acting as a source of energy for endophytic and non-endophytic microbial populations or acting as signaling molecules. The complexity of the roles of carbohydrates in plant immunity was reviewed by Trouvelot et al. , who sugThe great diversity of plant response to biostimulants highlights the challenges faced by researchers. Many plant responses to biostimulants cannot be explained by our current understanding of plant processes and while this represents a challenge, it also presents a great opportunity.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Rehabilitation care is fundamental to health and human dignity and a human right enshrined in the United Nations Convention on the Rights of Persons with Disabilities. The provision of rehabilitation is important for reducing the need for formal support and enabling persons with disabilities to lead an independent life. Increasingly scholars and advocacy groups voice concerns over the significant barriers facing people with disabilities in accessing appropriate and quality rehabilitation. A growing body of research highlights a \u201crespond-need\u201d gap in the provision of rehabilitation and assistive technologies and underscore the lack of indicators for assessing performance of rehabilitation systems and monitoring States compliance with human rights standards in rehabilitation service planning and programming. While research on human rights and health monitoring has increased exponentially over the last decade far too little attention has been paid to rehabilitation services. The proposed research aims to reduce this knowledge gap by developing a human rights based monitoring framework with indicators to support human rights accountability and performance assessment in rehabilitation.Concept mapping, a stakeholder-driven approach will be used as the core method to identify rights based indicators and develop the rehabilitation services monitoring framework. Concept mapping requires participants from various stakeholders groups to generate a list of the potential indicators through on line brainstorming, sort the indicators for conceptual similarity into clusters and rate them against predefined criteria. Multidimensional scaling and hierarchical cluster data analysis will be performed to develop the monitoring framework while bridging analysis will provide useful insights about patterns of agreement or disagreement among participants views on indicators.This study has the potential to influence future practices on data collection and measurement of compliance with human rights standards in rehabilitation service delivery and organization. The development of a valid and universally applicable set of indicators will have a profound impact on the design and implementation of evidence informed disability policies and programs as it can support countries in strengthening performance measurement through documentation of comparative information on rehabilitation care systems. Most importantly, the resulting indicators can be used by disabled people\u2019s organizations as well as national and international institutions to define a minimal standard for monitoring and reporting progress on the implementation of the Convention on the Rights of Persons with Disabilities in the area of rehabilitation. Disability is a major issue facing global health policy. It is estimated that one billion people around the world experience some significant degree of disability with 80\u00a0% of those living in low and middle income countries . FiguresRehabilitation \u2013 defined by the World Health Organization (WHO) as \u201ca set of measures that assist individuals who experience or are likely to experience disability to achieve and maintain optimal functioning in interaction with their environment\u201d p.96] \u2013 \u20136]. AltDemographic and epidemiological trends suggest that the number of people who could benefit from interventions aiming to reduce dependency, optimize functions and promote social participation is set to increase due to, among other factors, population growth and ageing , thus puex-novo to drive the collection of data in consistency with the legal requirements set by the CRPD in areas where data are not available. Data collection on disability (and rehabilitation) is a key obligation of States stipulated in Article 31(1) of the CRPD, under which \u201cStates Parties undertake to collect appropriate information, including statistical and research data, to enable them to formulate and implement policies to give effect to the present Convention.\u201d [Health systems performance measurement and human rights monitoring require meaningful, objective and reliable indicators to quantify progress achieved. While it is true that the use of indicators depends critically on the availability and quality of data, in disability rights monitoring some indicators must be constructed ention.\u201d . At presention.\u201d \u201317. The ention.\u201d which maDriven by this absence of a unified framework for estimating disability prevalence and measuring environmental barriers to social participation, WHO is undertaking research to harmonize and advance data collection practices. This research, which is mostly guided by the WHO Disability Action Plan 2014\u20132021 \u201cBetter health for all people with disabilities\u201d aims at These aspects are sidelined in international initiatives to strengthen disability data and left out of States\u2019 monitoring priorities. The narrowed approach to disability data collection that dictates current technocratic agendas is inappThus far, international efforts to strengthen data collection practices have limited their focus on survey based data and screening for disability through interview questions in population surveys ignoring other types of data from population based disease registries, hospital discharge records, and facility based reviews, all of which are essential for both evidence-based service planning and human rights reporting , 29. ThiGlobal health leaders, agencies and independent expert groups have increasingly been calling upon States to intensify their efforts to collect appropriate data suitable to monitor the human rights status and situation of vulnerable groups and enhance their collaboration with specialized agencies to build the technical capacity required for health monitoring and human rights assessment. These calls have led WHO and the World Bank recently to propose a global framework for monitoring universal health coverage across the entire spectrum of essential health services . The pilCurrently we lack a validated international set of indicators, especially process indicators , that coWhich indicators are appropriate for monitoring the implementation of the rehabilitation aspects of the CRPD?Which indicators are relatively more important and feasible and how the views of researchers, rehabilitation professionals and people with disabilities differ on the subject?What does a human rights monitoring framework for rehabilitation consists of, and how can it be put in practice?Seeking to cover this knowledge gap, this paper proposes a study to develop a monitoring framework with indicators to support countries to assess progress in the implementation of the CRPD in the area of rehabilitation. Specifically the study aims to provide answers to the following research questions:The general approach to answering these questions and the methodological details of this study are explained in the Methods section. But before describing the research process, it is essential to define what a human rights based indicator is and understand some of the challenges associated with their development.In general terms indicators can be defined as numerical or textual values that provide information about a phenomenon. Indicators are essential elements of monitoring and evaluation systems that allow for assessment of progress towards the achievement of goals, enabling comparisons of different units or comparisons of the same unit at different time intervals. Unlike development and performance indicators, which follow programming principles, human rights indicators are explicitly anchored in human rights values and standards . \u201cSuch iMethodologically, the development of human rights indicators is a challenging undertaking. In academic research, scholars have proposed and used many ways to accomplish the difficult task of indicators development, ranging from traditional research methods to more sophisticated approaches . CurrentRegardless of the method being used to develop human rights indicators, one of the major challenges lies in the conceptualization of the treaty provisions (what to measure) and the operationalization of qualitative or textual information into measurable entities (how to measure). A thorough legal analysis is therefore essential to delineate the attributes of the right under examination and identify the key obligations of signatories to a specific treaty. These obligations must be then mapped onto indicators for which data are available and reliable. But as Fukuda Par notes, the criterion of measurability cannot dictate the selection of indicators since not all aspects relevant to human rights can be quantifiable or captured with measurement tools such as, people\u2019s participation in the conduct of health affairs , 48. ThuFor developing the rehabilitation monitoring framework and identifying appropriate human rights-based indicators we propose to carry out a Group Concept Mapping study (GCM) that is underpinned by the methodological principles of structured conceptualization . GCM is Conceptually, the study will be guided by key international legal instruments pertaining to disability and rehabilitation, specifically the CRPD and particularly Article 25 , Article 26 (Rehabilitation) and Article 31 (Data collection and Statistics). An analysis of the obligations of States under the CRPD with respect to rehabilitation and its resulting framework will serve as a conceptual platform for identifying potential indicators in key human rights commitment areas . This pln\u2009=\u2009150 participants through purposive and self-selection from the following stakeholder groups: (i) n\u2009=\u200950 rehabilitation professionals and service managers, (ii) n\u2009=\u200950 researchers with expertise in various disciplines such as global health law, health services research and rehabilitation medicine, and (iii) n\u2009=\u200950 people with disabilities and representatives of disabled people\u2019s organizations. This will result in n\u2009=\u200927 participants sorting and rating the indicators which is above the minimum number recommended for ensuring the validity and reliability of the study results (n\u2009=\u200915) [There is no limit on the number of people who can participate in GCM. Based on a pooled analysis of 69 concept mapping studies Kane et al. found a range of 20\u2013649 participants with an average of 75 participants completing the rating phase . AssuminFor recruiting experts in the study the investigators will contact international professional organizations and societies, disabled people\u2019s organizations and individual academics and peers asking them to participate in the study and nominate additional experts for participation. A pool of participants who fulfil the criteria for participation will then be stratified by stakeholder group. A random sample will be drawn from the experts pool for each stakeholder group and sent an email invitation to participate in the survey. Invitees who decline the invitation are replaced by other randomly drawn experts from the same expert pool.In GCM data can be collected either in paper form during pre-scheduled workshops or remotely through dedicated web based platforms. In this study data collection will be facilitated by the Concept Systems Global MAX\u2122, a web based software specifically designed to facilitate concept mapping activities . Data peBased on the principles of GCM a sequen\u201cAn appropriate indicator for monitoring the implementation of the CRPD in the area of rehabilitation is\u2026\u201d Using this question, participants will brainstorm a wide array of measures which will result in a long unfiltered list of potential indicators. After the conclusion of the brainstorming session, the research investigators will review and content analyze the brainstormed indicators to remove duplicate or other irrelevant statements and agree with stakeholder representatives on a final set of measures for further elaboration.At this stage, a focus prompt \u2013 an incomplete sentence designed to invite people to complete it \u2013 will be used to elicit participants\u2019 best ideas and expertise on the topic. The focus prompt is: In the first data collection activity of this phase all participants will be invited by email to organize the indicators into categories in a way that makes sense to them and thus identify the conceptual building blocks for the rehabilitation monitoring framework. Participants will also rate the indicators for importance and feasibility, thus allowing patterns of agreement\u00a0and/disagreement among different stakeholder groups to be identified.Data analysis will be performed using special functions of the Concept Systems Global MAX\u2122 software . MultidiThese analyses will finally lead to a general discussion of the reasonability of the resulting monitoring framework and its implications for human rights compliance and rehabilitation systems performance assessment. Specifically, in the final phase of the GCM, stakeholder groups' representatives and experts in public health monitoring will be invited to review the clusters of indicators and the underlying relationships between them and to collectively interpret the results in a way that can drive evidence based action.Ethics review and clearance has been obtained for this project by the Ethics Commission for Northwest and Central Switzerland.This study aims to reduce the information gap in the assessment of performance of rehabilitation services and programmes for people with disabilities. It also has the potential to influence future practices on data collection and measurement of compliance with human rights standards in the delivery and organization of rehabilitation care. The development of a valid and universally applicable set of indicators will have a profound impact on decision making and implementation of evidence informed policies for rehabilitation at national and global level. Furthermore, the resulting monitoring framework can support the documentation of comparative information on national rehabilitation care systems and could be used as a minimal standard for monitoring and reporting progress on the implementation of the CRPD in the area of rehabilitation.A unique feature and major strength of the GCM is that it employs a truly participatory process for developing the indicators. Unlike other research methods the approach to data collection and elaboration is highly structured and under the control of the participants. Specifically and significantly, GCM allows stakeholders to contribute their expert knowledge by identify relevant metrics, participate in the interpretation of their perceptions and elaborate on their potential use of the resulting evaluation framework. An additional strength lies in the use of advanced statistical techniques to provide useful insights about the relationships of the ideas of different stakeholder groups, which provides rigor and enhances the credibility of information obtained during qualitative research processes. This results in visual representations of the indicators in the form of maps that are relatively easy to understand and interpret in the subsequent phases of the research process.Alternative approaches that have been used for the development or selection of indicators in health research either lack scientific credibility or adoptAs with conducting on line surveys, GCM presents a number of challenges for the investigators to address when collecting, organizing and interpreting the data. Remote data collection in concept mapping may allow researchers to access large and geographically distributed samples of participants, but they carry with them specific limitations when compared to the traditional paper based collection of data. These include the risk of a low response rate and a resource intensive process for collecting and analyzing the data . In ordeThe results of this study are relevant to key stakeholders at both the national and international level in a variety of ways. First, the resulting indicators set will equip national public health and statistical authorities and human rights institutions with a valuable tool to monitor States\u2019 compliance with international human rights law standards in the organization and delivery of rehabilitation services. In so doing, competent authorities may choose to either adjust their own data collection and monitoring systems to include human rights based indicators or use the new metrics separately on an ad hoc basis during periodic country performance reviews. Second, the results will be relevant to researchers, policy analysts, advocates and global health stakeholders, providing them with an evaluation framework and menu of newly created, evidence based measures that can be used to standardize the assessment of rehabilitation services and programs and facilitate comparative evaluation research.In addition to satisfying the need for human rights monitoring and performance assessment, the rehabilitation indicators will be extremely valuable for UN agencies, Member States and other international stakeholders. The metrics proposed by this study will augment existing quantitative and qualitative measures thus offering a more comprehensive evaluation toolbox that WHO and other organizations can use in their programmatic activities, as for example to assess progress in the implementation of the WHO Global Disability Action Plan. Finally, the indicators set will be based on the legal requirements of the CRPD that represents a nearly universal consensus as it has been ratified by nearly 160 countries in the world. This makes the set of indicators applicable in all contexts and thus might be an appropriate start for the development of specific human rights monitoring guidelines for Article 25 and 26 by the UN committee responsible for the oversight of the CRPD.Lastly, from a consumer\u2019s perspective, the long standing misapprehensions surrounding the goals of rehabilitation and the contested role of health professionals in disability management make the results of this research even more important. Since people with disabilities have been traditionally excluded from decision making in rehabilitation care planning and programming, rights based indicators will prompt rehabilitation professionals and service designers to reconsider oppressing attitudes and approaches in their everyday clinical practice and pay more attention to human rights issues in patients care . More imThe results of this study will provide the global health and disability community with a preliminary set of cross-cutting indicators for assessing performance of and monitoring compliance with human rights standards in rehabilitation service planning and delivery. It will help identify gaps in quantitative data and other qualitative information that are essential for the comparative evaluation of national rehabilitation care systems. This will stimulate action toward the expansion of information gathering on rehabilitation services and further research on the development, testing and validation of indicators for various tracer conditions. The study described in this paper is a major step toward advancing the current practice of rehabilitation systems performance comparison and promoting evidence-based human rights monitoring and reporting."}
+{"text": "Sir, The response by The very interesting question is the reason for the more severe disease expressivity and complete penetrance in the patients reported (TTN (We attempted to find evidence for a modifier effect for kinase variants by screening a HMERF population of 33 patients, but our findings did not support this hypothesis ("}
+{"text": "Maternal mental disorders are associated with adverse psychological outcomes in children in countries of low and middle income , 2. AlthWomen with mental disorders sometimes perform self-interruption of medications during pregnancy, and then the self-interruption of medications sometimes deteriorates their state of mental disorders. They seemed to misunderstand that the medication leads to the adverse outcomes of pregnancy. In addition, the pregnant women impoverished economically may be liable to be as follows: 1) they have often received low education leading to their misunderstanding about the influence of medications on their pregnancies because their parents had been also poor; 2) there may be large time and/or economic burdens in their visiting of psychiatric and obstetrics; and 3) the stress of pregnancy may be easy to hunt down their psychological status because there is no room in their life. These may become negative chains in their lives and these may lead to the poverty and adverse psychological outcomes of their children. The Japanese HAP system aids their delivery costs only. Therefore, in Japan the proper education and sufficient financial support are needed for pregnant women who are impoverished economically to prevent the deterioration of their mental status during pregnancy."}
+{"text": "Resonance in the membrane potential enables a neuron to discriminate its inputs on the basis of their frequency content, so that oscillatory inputs near the resonant frequency produce the largest responses . RecentlThese results contribute to the understanding of the complex interactions between active and passive properties in MNs and how these interactions can produce membrane potential resonance and affect action potential generation. The relation we found between subthreshold resonance and the minimum firing rate merits further studies to better understand how firing rate may be affected by membrane resonances."}
+{"text": "In many countries around the world sex work is criminalised and its regulatory control is therefore often in the hands of the police. In addition to the impact of this criminalised legal environment, much literature describes the negative impact that certain police practices can have on the ability of sex workers and the programs that work with sex workers to access essential HIV prevention, treatment, care and support services. This situation has resulted in persistent concentrated HIV epidemics among sex workers in many countries of the world. The need for multi-sector partnerships between police and HIV programs is increasingly recognised in various UN declarations and resolutions yet descriptions of the process or key ingredients required to actually establish and sustain these necessary partnerships between police and sex workers [or the programs that provide essential services to sex workers] are sparse. The paper seeks to establish key considerations and critical processes that are required to foster partnerships that if further investigated and scaled up, could result in an enhanced enabling environment for the provision of essential HIV services for sex workers around the globe. This paper is based on a realist review that investigated isolated examples of partnership formation between law enforcement and HIV programs working with sex workers. This methodology research is designed to work with complex social interventions and is based on the emerging 'realist' approach to evaluation. A realist review methodology was chosen given the paucity of relevant literature in this vein and the authors\u2019 familiarity with the grey literature and relationships with experts who work in this sphere. The review found that political and police leadership, civil society strengthening and police reform in relation to HIV, are critical factors and key ingredients in changing the enabling environment in which sex work takes place to ensure that HIV prevention, individual and public health as well as HIV prevention and the promotion of human rights are the number one priority. Further research into this relationship is needed to provide evidence for effective HIV programming with police. In many countries the buying and selling of sex is illegal and criminal law is enacted to control the industry. Regulatory control of the industry is therefore often in the hands of police. However, even where sex work is legal, street-based sex work is often conducted outside of the law. This situation makes it difficult to provide essential services to sex workers and ensures that in many countries concentrated epidemics of HIV among sex workers persist. Decriminalisation is widely regarded as the evidence-based model of sex industry regulation that best supports effective health promotion, public health outcomes, the human rights of sex workers and is the best practice model for the prevention of HIV and STIs. 2] 3] [3] 2] [ [3] 2] Decriminalisation is also espoused by WHO, UNAIDS, UNFPA, UNDP, sex worker organisations and human rights groups.11] Desp Desp11] Given the prevalence of criminalisation, there is a growing political realisation of the need to promote partnerships between sex workers and police is also encouraged by various UN political declarations including UNESCAP Resolutions 66/10 and 67/9 yet therThe aim of this review is to identify and highlight examples of positive police partnerships that work with sex workers and sex worker organisations to prevent HIV transmission and to examine the aspects of these partnerships that contribute to success.To best source and analyse emerging examples of partnerships between sex workers and police a realistic review methodology was chosen. This qualitative approach was chosen for its aptness for in depth analysis of a small number of cases and its flexibility with regard to sampling and is a methodology designed to work with complex social interventions based on the emerging 'realist' approach to evaluation. It provides an explanatory analysis to explore what works, when and how. A realist review does not seek to find simple solutions to complex issues but can provide a more in depth understanding of how an intervention can be made more effective. A small There is a significant amount of documentation that describes the barriers that various law enforcement cultures and practices can create for sex workers\u2019 health and wellbeing, in particular the barriers they create for HIV prevention programs. These barriers are often compounded by the inherent legal environment in which sex work takes place but are also often the result of law enforcement cultures and practices that operate outside of legislated paradigms.The use of the threat of arrest and bribery by the police towards sex workers has been documented widely.18]19][[19][18][[[19][18]had the right to beat them. Thei Thei41] The harassment and arrest of peer educators and outreach workers by police, documented in India, Nepal and the Philippines severely compromises their ability to serve their constituency and provide condoms and safe sex information. IncarcerPolice harassment, violence and extortion have very real and serious consequences for the health and well being of sex workers. Violence is associated with unprotected sex and heightened risk of STI and HIV transmission. In many Despite criminalised environments, there are emerging examples of both sex worker programs working with police to create greater understanding of the sex industry within police ranks, to ensure better access to services and greater wellbeing for sex workers. In addition, there are also examples of police led interventions as well as reform measures taken by police institutions that are beginning to result in both better outcomes for sex workers and police. A selection of these programs are described in order to draw out the critical factors and key ingredients in changing the enabling environment in which sex work takes place to ensure that HIV prevention, individual and public health as well as HIV prevention and the promotion of human rights are the number one priority.Resourcing Health and Education in the Sex Industry (RhED) is a service for the sex industry in Victoria, Australia. RhED uses a social model of health that incorporates harm minimisation, health promotion, social inclusion and community participation approaches to promote physical, emotional and social health and wellbeing for sex workers. RhED\u2019s UThailand\u2019s Sex Workers in Network Group (SWING) provides services for male sex workers in Bangkok and has an intern program for police recruits that aims to build relationships of mutual respect to enable sex workers to access STI and HIV prevention and treatment without fear of arrest. Police cadets\u2019 internship gives them first-hand knowledge of the working lives of sex workers. The police cadets study English and take part in other SWING program activities such as outreach. The program aims to sensitise future police officers to the needs of sex workers to foster supportive environments for sex workers and to create a cadre of police officers within the Bangkok police ranks that share an understanding and empathy for sex worker\u2019s rights.Save the Children\u2019s Poro Sapot program works with police liaison officers and conducts peer education amongst police in various sites in Papua New Guinea of India decided to target local police stations to talk about HIV awareness with operational police. Informal meetings with sex workers and police were held which proved to be a beneficial way to communicate issues of concern for sex workers. The police constables were sensitized to the problems facing sex workers and devised steps to lessen the harassment. Peer educators were introduced to police so they recognized them as a part of the program. Police constables are now informing VJT as soon as any sex workers have been arrested. The GateKeeping Alive Societies Hope (KASH) has worked with sex workers for over 7 years in the Nyanza province of Kenya. In Kisumu, Nyanza\u2019s largest city, 60% of sex workers are HIV positive. Police violence has been widely observed and documented as a determinant of HIV risk. In 2007, KASH initiated joint workshops for police and sex workers to discuss, share and learn about HIV and AIDS and Kenyan laws on sex work. KASH selected 10 police officers and 10 sex workers as peer educators. This core group developed a data collection system to document abuses against sex workers, held regular workshops for their peers, and reconvened bimonthly to discuss their findings and strategize on how to address emerging patterns of abuse. The programme is now supported by the provincial police administration who have made it an integral part of all police training programmes in Kisumu.55] Simi Simi55] The development of police strategy, instruction and standard operating protocols has been shown to have some impact in addressing HIV risk among key affected populations, including sex workers. In 2005 the Nepal Police released their HIV/AIDS Strategy and Work Plan that outlined the commitment of the Nepal Police to HIV prevention both among uniformed officers and the general population of Nepal including sex workers and other key affected populations. The document outlines the importance of collaborative partnerships between the police, public health and NGOs working with vulnerable groups. It also mentions the need for HIV training and sensitisation of high ranking police officers so that policy can translate to operational guidelines and practice on the ground.Specifically in relation to vulnerable groups, the overall objective of the Nepal police is to ensure the creation of an enabling environment for supportive behaviour with vulnerable groups. In addition to regular sensitisation meetings, internships and field visits, the HIV/AIDS Strategy of the Nepal Police also includes a joint monitoring mechanism between the police, civil societies and vulnerable groups to monitor the behaviour of the Nepal Police. Further supporting reforms from the Nepal Police included the establishment of a Human Rights Unit in 2003 in order to promote and protect human rights in Nepal by implementing a range of human rights promotion measures into the operations of the Nepal Police. The Human Rights Unit is represented in all levels of the Nepal Police to train police on relevant human right issues, to monitor Nepal Police in the maintaining of human rights standards and to investigate cases brought to their attention by individuals or members of a community or network.To the knowledge of the authors there are no rigourous peer reviewed studies that have examined the efficiency of police/sex workers collaborations or police led interventions or reforms on HIV risk behaviour or access to service. As a result there are limitations regarding the quality and quantity of data included in this review. While these programs are not extensively documented, a realistic review makes it possible to draw out common themes and key ingredients that can help foster better partnerships between police, sex workers and the programs that provide services to sex workers. It also highlights where research to further investigate this field is warranted. In promoting an environment where collaborations between police and sex workers can support enhanced HIV service provision it is clear that the following areas need to be considered.While political leadership at a national and international level is critical, many of the examples described have resulted from local level collaborations between police and sex worker groups. Inherent is the need to identify champions from both the policing and the civil society, community-based and non-government organisations. The pursuit of collaborative leadership efforts can bring a sense of ownership, responsibility and support for partnerships. The Australian Government\u2019s former aid agency, AusAID, supported senior police officials from Vietnam and Cambodia to Australia to partake in a three-week training program designed to develop and promote police leadership in responding to HIV in Asia. Further efforts to develop police leadership include the formation of the International Police Advisory Group (IPAG) under the secretariat of Law Enforcement and HIV Network. An IPAG delegation recently presented at the 2013 UN Commission on Crime Prevention and Criminal Justice and launched an International Statement of Police in Support of Harm Reduction and other evidence-based HIV Prevention Strategies for Key Affected Populations. It is clear that as civil society organisations, NGOs and community based organisations and networks gain strength, they are more able to represent the needs of the people they work with and more able to engage in discussions and collaborative program design with police. The ongoing support for these organisations is critical as is their need to articulate and develop advocacy and program design strategies that describe and outline how they will engage and work towards partnerships with the police. This paper briefly described the positive impact of these efforts in India and Kenya.Across regions with concentrated epidemics of HIV among sex workers there exist numerous reviews of the legal and policy environment in which sex work takes place and the changes in legislation that are required. This paper highlights that without an equal examination of the culture and practice of law enforcement, addressing the legal and policy environment is self-defeating. PartnersThe example of the Nepal Police in designing and implementing their HIV/AIDS Strategy effectively outlines a best practice response of police when working with key affected populations including sex workers. While acknowledging the need for further legal reform, resources and high level political will, the Human Rights Cell of the Nepal Police has been an important platform and link between civil society groups and the Nepal Police. Police reform in the context of responding to HIV among sex workers is being seen through the efforts of the Ukrainian Police Training Institute and the Police partnerships are not a substitute for law reform and should not preclude advocating for a more human rights based legal framework for the sex industry. However given that criminalization of sex work and sex work activities persists in a majority of countries in the world, creating police partnerships is a pragmatic option in support of the health and wellbeing of sex workers. The authors acknowledge that the examples of the programs described here warrant a more in depth analysis into the essential elements of HIV prevention programs that work with police in order to improve the health, wellbeing and quality of life of sex workers. Documenting these best practice examples and promoting further analysis begins to build an evidence base for the design of programs that can redress the barriers that law enforcement create and help contribute to greater access to services [especially HIV and STI prevention] and quality of life for sex workers and freedom from repeated incarceration and violence. Unfortunately these examples remain the exception rather than the rule.At the intersection of policing and sex work and in pursuit of a more enabling environment for the provision of HIV services for sex workers it is clear that interventions need to be multi-layered, multi-sector and designed so that they can be scientifically evaluated. While these intervention and study designs are more complex, the research community and the institutes that fund HIV prevention research need to move beyond single interventions and prioritise the design of multi-faceted structural interventions that require a greater level of complexity and indeed a greater level of community and government involvement. This is really the last frontier of HIV intervention science: the science of the enabling environment. The very process of this type of research will lead to program designs that if enacted will contribute to the scale up of access to HIV prevention, treatment, care and support for sex workers and other key affected populations around the globe. In addition, it will also lead to the development of more humane and professional police services."}
+{"text": "Electronic data collection for randomised trials is attractive as it can, in theory, provide great financial advantages by reducing fieldwork costs and data inputting time, as well as increasing the accuracy of responses over and above paper based methods. For trials involving young people, electronic methods provide other advantages such as the ability to adapt questions to meet the needs of young people of differing ages and abilities. Researchers have also suggested that young people prefer electronic methods over traditional ones and have found equal validity across both methods. This presentation will discuss issues relating to the collection of sensitive information from young people in Northern Ireland, using electronic and paper formats. We will draw on experience gained across several research studies that have collected data on sexual risks and behaviours, particularly in school-based research; including a recent trial on adolescent pregnancy. We will examine the feasibility, reliability and validity of data collected along with an evaluation of the cost implications and ease of using both methods (including the merging of the resulting datasets if both methods are offered). The views of the researchers and participants will also be reflected upon."}
+{"text": "Monogenic diabetes (diabetes caused by a change in a single gene) accounts for around 2% of all diabetes but is not well recognised and is initially misdiagnosed in 80-90% of cases. This frequently leads to inappropriate treatment and advice including unnecessary use of insulin injections. This presentation illustrates how nursing research has increased our understanding of the impact of a genetic diagnosis of diabetes and treatment change from insulin injections to sulphonylurea tablets for individuals and their families.Rapid advances in genetic technology have resulted in the identification of 30 genes causing monogenic diabetes. Identifying a means of effectively translating these genetic findings into diabetes clinical care was clearly needed. Training experienced Diabetes Specialist Nurses as Genetic Diabetes Nurses across the UK has increased awareness and recognition of monogenic diabetes, leading to improvements in clinical care. The role of the Genetic Diabetes Nurse, in the education of other health care professionals and aiding identification of patients with monogenic diabetes, and how this could be used as a model for other areas is discussed."}
+{"text": "Thus, early reactivation might be necessary for Beyond clarification of neuronal mechanisms, the findings of Waldhauser et al. afford a number of future directions to strengthen the argument that extrastriate reactivation is functionally relevant to episodic memory. Extrastriate cortex has distinct upper visual field and lower-visual field representations that map onto more ventral and dorsal portions, respectively from those that are familiar . Recollection and familiarity have unique neural correlates . SK is supported by the National Science Foundation Graduate Research Fellowship Program (NSFGRFP grant number DGE1258923).The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Frontiers in Plant Science by Goolsby and Mason acquired this property in the course of their evolution millions of years ago most others growing in the same soil environment, and (ii) most others growing on less metalliferous soils. These concentration-based definitions serve the very useful practical purpose of drawing attention to a relatively rare plant response to particular elements. Identification of hyperaccumulator behavior in the natural environment can then lead to studies on plant physiology and molecular biology, and to practical applications in phytoextractive technologies. Next-generation sequencing can lead to a better understanding of the evolutionary path toward hyperaccumulation and extend knowledge to species other than model plants (Verbruggen et al., The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "During the recent years, the scientific knowledge of the pathomechanisms and new therapeutic options in pediatric lung diseases has dramatically increased which is reflected by the more and more increasing number of publications in this important field. Additionally, major scientific efforts have been bundled within national and international research networks like the German Center for Lung Research (DZL), the platforms of the European Respiratory Society (ERS), and the different Cooperation in Science and Technology (COST) actions , 2. It wPediatric lung disease already starts early in utero when the highly orchestrated process of lung development gets disturbed \u20137. The bTo this end, the conclusions of the symposium pointed out that despite the heterogeneities between different pediatric lung diseases and even between different clinical phenotypes within one disease, the commonalities of major pathomechanisms highly encourage a comprehensive concept to elucidate the frontiers in science to the different pediatric lung diseases within a bundled interdisciplinary approach. Learning from the others\u2019 cohorts and experimental results cannot only broaden the horizon but speed up the development and introduction of new and more specific therapies into the clinics to all children with pediatric lung diseases. We want to thank all speakers for their excellent presentations during the symposium and for their important contributions to this special edition."}
+{"text": "The current research topic and eBook \u201cMechanisms of neuroinflammation and inflammatory neurodegeneration in acute brain injury\u201d was initiated as a reaction to the rapidly expanding literature on inflammatory mechanisms in the pathophysiology of acute brain injuries. The scope of this compilation of reviews, opinion, and original research articles was to give a broad overview of the diverse cellular compartments and mechanisms involved in the inflammatory response to brain tissue injury.Although a specific aspect of the pathophysiology of acute brain injuries, the immune system interacts in highly complex as well as diverse mechanisms with the damaged brain.On one side acute brain lesions, such as brain ischemia, hemorrhage or traumatic injury, induce a local neuroinflammatory reaction, wherein microglial cells represent the local immune cells (Benakis et al., In addition to an overview and discussion of basic mechanisms and involved pathways in secondary neuroinflammation after acute brain injury, our research topic also contains several reviews and original articles on novel therapeutic approaches to modulate the immune response. Rissiek et al. introducIn summary this research topic gathered contributions from the leading laboratories working in the field of secondary neuroinflammation after brain injury with nearly 100 authors from 4 continents. We are confident that this compilation covers most established and emerging research questions in this specific research field and presents an up-to-date overview on inflammatory mechanisms and drug targets in acute brain injuries.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "The authors wish to amend the Competing Interests Statement for this article, which should have included additional information in relation to potential competing interests relevant to this work. The authors apologize for this omission and revise the Competing Interests Statement to read as below.The University of Pittsburgh Medical Center has received grants from the National Football League and the Pittsburgh Steelers. Dr. Joseph Maroon is an unpaid consultant for the Pittsburgh Steelers football club. He has been the team neurosurgeon for the Pittsburgh Steelers since 1981 and the medical director for World Wrestling Entertainment Corporation since 2008 for the management of spine and brain-related injury. He also has served on the National Football League's Head, Neck and Spine Committee since 2007 and is currently a consultant to the committee. Dr. Maroon is a founder and shareholder in ImPACT (Immediate Post Concussion Assessment and Cognitive Testing), and the WWE has partnered with ImPACT to provide concussion management. Dr. Maroon has served as an expert witness in medical legal cases involving concussions. This does not alter the authors' adherence to PLOS ONE policies on sharing data and materials.In addition, the authors would like to correct statements in the published article and provide additional clarification regarding the searches underlying the systematic review:Figure 1 indicates that the authors conducted a meta-analysis on 40 studies, which is incorrect. The text in the last box of the flow chart should read \"40 studies included in quantitative analysis.\" For the qualitative analysis of 58 studies, the authors gathered information on observed pathology, associated symptoms and suspected risk factors of chronic traumatic encephalopathy (CTE). The 18 qualitative studies that were excluded from the quantitative analysis did not present any pathologically confirmed case reports of CTE.The following statement in the third paragraph of the Discussion section is incorrect: \"This is also true for athletes of contact sports with risk for head impact but with no confirmed CTE cases to date, such as rugby or soccer players.\" There are both rugby and soccer players included in the authors' dataset of pathologically confirmed cases of CTE (Table S1).The article reports a review of published data from 1954 to August 1, 2013. Because the review data collected did not have consistent demographic identifiers, each subject reported required an exhaustive process to cross-match the entire database to determine duplicate reporting and identify unique individuals. After the data collection, the analysis of the data and their preparation for publication took 12 months. Since the closing of the data collection in August 2013, there have been a number of additional reports documenting athletes and others with pathologically confirmed CTE. This includes an article by McKee and Robinson (2014) that reported on four US veterans from the recent wars who had a history of blast exposure and were found to have CTE at autopsy [A related publication by McKee et al. 2014) published after the closure of our data collection 014 publi and were"}
+{"text": "Adequate assessment of (un)consciousness is not only of theoretical interest but also has a practical and ethical importance, especially when it comes to disorders of consciousness (DOC). Accurately determining the presence or absence of consciousness in patients with DOC allows informed decisions to be made about long-term care support, referral for rehabilitation, pain management and withdrawal of life support.In spite of significant progress in neuroimaging and the introduction of clear-cut clinical diagnostic criteria, determining the (un)consciousness still presents an important clinical problem: errors are common and have been shown to be as high as 37\u201343% or increased (more consciousness), and thus considered to be gradual and high (like in seizure) levels of synchrony among neuronal assemblies result in a dramatic loss of consciousness Flohr, Figure .High strength of default mode network synchrony is required to support representational content integrated within the first-person perspective offer a unique opportunity to study the neural basis of (un)consciousness due to the fact that impairment in awareness of self and environment is dissociated in such patients from preserved and stable wakefulness. We believe that an appropriate level of consciousness description should articulate the operational level of brain organization where the phenomenal/conscious phenomena reside differ considerably in their level of operational architectonic dysfunction and that in turn translates into different expression of consciousness (Fingelkurts et al., The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Just as John Snow used a branch of informatics, geospatial analysis, to identify the source of cholera in London and so prove the germ theory and revolutionise medicine in 1854, so too will the application of informatics and associated technology be instrumental to the next big change in healthcare. All countries with advanced economies are facing increased demand from ageing populations and increased chronic disease. Many also have shortages of skilled workers. Mounting evidence points to avoidable errors causing serious harm in health systems. Indeed optimal care only occurs about half the time in even the best performing health systems that may"}
+{"text": "The ageing population is becoming a major concern in Hong Kong. According to population projections by the Census and Statistics Department , the numCustomer relationship management (CRM) is the strategic use of information technology and people to manage customers' relationships with companies across the whole customer life cycle .Existing CRM technologies include databases, software and security features . ResearcAn initial framework is developed by extensive literature review. The final framework is further supported and finalised by in-depth interviews with industry practitioners and academics. Content analysis is used to analyse the collected data.The results provide evidence that innovative technology can reveal the business opportunities of the ageing population and provide better service to this segment. For example, the use of big data can provide a better understanding of the needs of the 'silver hair market' and the mobile business and online retail platforms can ease their purchasing processes.The research findings can be applied across a range of industries to improve CRM for the ageing population."}
+{"text": "One of the main challenges in critical patient management is to assess the blood volume and determine which patients will benefit from volume expansion and which patients will benefit from support with vasopressor and/or inotropic drugs. It is known that 40-72 % of critical patients respond to volume expansion with increased stroke volume or cardiac index.To search the literature for methods assessing fluid responsiveness in spontaneously breathing critically ill patients.The present study is a systematic literature review. We searched randomized clinical trials through a blind search performed by two independent authors in any language in the National Library of Medicine from 2009 to 2014.We selected three articles for full review and analysis, totaling 116 patients. The results are shown in Table This systematic review supports the beneficial effects of adopting maneuvers that amplify the hemodynamic changes, increasing the accuracy of methods to predict fluid responsiveness in spontaneously breathing critically ill patients."}
+{"text": "Translational research helps move basic science and clinical laboratory discoveries toward application in health and medicine. Through controlled experiments, basic scientists use animal models to reproduce disease characteristics caused by an agent\u2014in this case, excessively high exposure to alcohol. Through systematic study and observation, clinical research scientists identify symptomatic and physiological characteristics that define a disease. These bidirectional, complementary approaches enhance basic and practical knowledge about the biological basis of disease and hold promise for creating thoughtful, scientifically motivated solutions for improving public health.More than a decade ago, the National Institutes of Health (NIH) recognized the need for accelerating translation of research findings. In 2003, NIH developed the \u201cRoadmap for Medical Research,\u201d a collection of initiatives designed to find ways of motivating the translation of basic science into practice with the goal of transforming health care and outcomes. That vision was further crystallized in 2011 with the formation of the National Center for Advancing Translational Sciences (NCATS), which creates integrated translational and clinical research programs and fosters collaborations with community partners.NIH\u2019s attention to translational research demonstrates its quest to bridge the laboratory\u2013clinic divide. In this issue, we examine how current research in the alcohol field is setting the stage for translating clinical research findings to alleviate physical damage and restore neuropsychological function in individuals with alcohol use disorder (AUD).A highly promising area is the translation of cognitive neuroscience discoveries to gain a basic-science understanding of behavioral and pharmacological treatment outcomes. Findings from structural magnetic resonance imaging (MRI) and functional MRI (fMRI) studies, both in active and in abstinent alcoholics, are leading to a better picture of cognitive pathways that underlie behavior change in AUD (see the article by Naqvi and Morgenstern). A more complete understanding might be achieved by tracking the condition of the brain\u2019s communication networks through the cycle of alcoholism from sobriety to relapse and recovery. Indeed, anomalous brain circuitry is present in certain individuals with a genetic predisposition for alcoholism (see the articles by Kamarajan and Porjesz and by Cservenka and colleagues). Knowing more about these networks may enable us to identify people at high risk for developing an AUD. In earlier research, electrophysiological recordings obtained with scalp electroencephalography (EEG) first helped explain the genetic predisposition for AUD in individuals with a dense family history of alcoholism (see the article by Kamarajan and Porjesz). An extension of these studies could contribute to prevention and individualized treatment regimens.Research using fMRI to examine brain network connectivity suggests that alcoholism may be related to problems in maintaining balance between opposing networks. As Fein and Cardenas explain, it may be possible to treat AUD by altering selective brain network function with focused magnetic stimulation applied transcranially and with the use of neurofeedback. Neuroimaging studies also have identified neuronal changes that may be associated with drinking relapse. Underlying the chronic relapse risk may be negative neuroplastic changes in the brain, caused by the cycle of continued alcohol abuse, repeated brief alcohol abstinence, and alcohol withdrawal.In light of the multifactorial nature of AUD, we now know that factors such as stress affect brain circuitry in recovering alcoholics (see the article by Seo and Sinha). Hence, basic research through animal models of stress is critical for testing the effects of stress surmised from human studies. Lovinger and Kash review the effects of high alcohol exposure on two brain regions in a limbic pathway\u2014the striatum and bed nucleus of the stria terminalis (BNST)\u2014involved in long-term stress-related behaviors. This research should enhance our understanding of the mechanisms by which alcohol produces its long-lasting change in synaptic function and their potential as new treatment strategies.Excessive alcohol consumption by pregnant women is particularly dangerous to the fetus. The timing of hazardous drinking occurring during fetal development dictates the locus and extent of neural and facial dysmorphology sustained, resulting in fetal alcohol spectrum disorders (FASD). Landmark studies of human FASD conducted by Riley and his colleagues and reviewed in their article also demonstrate how animal models can enhance the role of neuroimaging in human studies and lead to advances in FASD diagnosis and treatment. Animal models of FASD have yielded essential information about normal brain development and the temporal and dosage parameters of alcohol exposure that produce significant dysmorphology (see the article by Wang and Kroenke). In turn, this knowledge has provided suggestions for treatment.Alcoholism is a complex human disorder with biomarkers for neural health dysfunction that are now detectable with neuroimaging methods. Clearly, alcohol researchers have led the way in applying these methods to identify\u2014in the living brain\u2014neural changes that occur with chronic, hazardous substance use. This accommodation of brain structure and function to the chronic presence of alcohol, that is neuroadaptation, seems to be either reversible or at least reduced with sustained sobriety. The promise of many of the functional imaging studies, then, is to identify neural circuits affected by and maladapted to alcohol, as well as those intact enough to undergo further neuroadaptation, but now in the direction of normalization. Knowledge about bidirectional neuroadaptation also might lead to the development of medications based on neural circuitry that expresses neuroplasticity (see the article by Johnson and Oslin) and identification of individuals with AUD who are treatment candidates because of their adequate neuroadaptive reserve. By fostering innovative collaborations across government, academia, industry, and the people we strive to treat, we can make the most of translational research findings and meet the growing need for specialized treatment (see the article by Batman and Miles). Research designs with both basic and clinical translational components hold promise for preventing and treating AUD and sustaining sobriety."}
+{"text": "Abdominal wall defects repair using prosthetic material is currently considered as the best available solution for most incisional hernias. Postoperatory suppuration remains the most frequent and fearful complication after this kind of intervention therefore imposing prevention methods. The aim of our study was to evaluate this serious yet controllable complication in the situation of a known pathogenic agent.This retrospective case series was carried on in the Surgery and Emergency Clinic III of the University Emergency Hospital Bucharest. It includes 14 cases of suppuration after abdominal wall reconstruction using prosthetic material during the last 15 years.In the situation of specific pathogenic agent, the use of specific antibiotic therapy and certain rather simple surgical techniques could guarantee therapeutic success for the doctor as well as the patient. A very good collaboration between the surgeon and the infectious disease physician was the key to therapeutic success."}
+{"text": "Translational research to discover therapeutic targets for stroke has not fared well in developing new treatments for patients. The three most pressing issues are the choice of therapeutic target, animal model, and timepoint of administration of treatment. This manuscript \u201cDifferent immunological mechanisms govern protection from experimental stroke in young and older mice with recombinant TCR ligand therapy\u201d provides a fresh approach toward developing stroke treatments (Offner et al., For a number of years, researchers have reported the entry of immune cells into the area of the infarct, which leads to further neurodegeneration. However, targeting this immune response as a treatment for stroke remains elusive (Iadecola and Anrather, This treatment reduced infarct volumes in both age groups by altering the immune response to this neurological insult. Most interestingly, the recombinant TCR ligand differentially affected components of the immune response in the elderly and young mice but still resulted in a blunted immune response reducing neurodegeneration. This study illuminated differences in the immune cell composition and inflammatory expression between these two age groups in response to stroke. This is one of the few studies that enlists elderly animals which begins to provide insight into the differences in the physiological responses to stroke between young and the aged animals. Such differences in young and elderly could be responsible for the failure to translate findings at the bench to those in the clinic since the vast majority of studies use greatly cheaper young ones. More studies using elderly rodents will further supply additional insight in translating stroke treatment from the preclinical research to the clinical setting. This study sets the basis for future ones to develop new therapeutic approaches for a treatment for stroke.The author declares that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Anorexia Nervosa is a devastating disorder with the highest mortality in mental health. For some, it becomes a life long struggle with immense personal and social consequences and premature death. Severe and enduring anorexia is often synonymous with intractable disorder.This presentation challenges the common definition of treatment resistant disorder. It presents the case of a 60 year old woman who has lived with the disorder for over 30 years. The treatment went beyond weight restoration and resolution of the anorexic thinking; the main focus was on minimising harm and focusing on best possible quality of life as defined in a collaborative therapeutic relationship with the client. The presentation is not only about what went well but also trial and error and learning to be flexible and inventive rather than being stuck with pre-conceived ideas of \u2018successful\u2019 treatment goals."}
+{"text": "Given the characteristics of VR, we have to admit that imagery of \u201crotated head\u201d generated the same neural conditions associated with real head rotation, despite the subjects could not predict which neural circuits should be activated/inhibited and the studied reflex could not be voluntarily controlled. In other words, highs can transform into appropriate neural activations not only the mental images of voluntary movement and of selected perceptions of the brachial artery (Green et al., highs and lows may exhibit NO-dependent different activation of sensory and associative regions such as those belonging to the salience and executive circuits, cerebellar inhibition of the motor cortex, internal model for postural control.In the cerebellum NO acts also as a negative regulator of granule cell precursor proliferation, promotes survival and differentiation of these neurons and regulates bidirectional plasticity at parallel fiber-Purkinje neuron synapses (Contestabile, In conclusion, our findings allow to include hypnotizability among the individual traits responsible for part of the variability in postural control and indicate that it may be involved in the construction of individual sensorimotor selves. They suggest a key role of the cerebellum in hypnotic responding and go beyond psychological theories by suggesting that the involuntariness in action reported after a few sensori-motor suggestions can be real rather than merely experienced.The author declares that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Mental retardation (MR) is frequently the result of genetic mutations. Syndromic mental retardation is intellectual deficits associated with other medical and behavioral signs and symptoms. Non-syndromic mental retardation refers to intellectual deficits that appear without other abnormalities. The newly identified ARX gene consists of five exons and encodes 562 amino acid proteins and is thought to regulate brain development. Mutations in the ARX gene are associated with a diverse spectrum of phenotypes ranging from severe developmental abnormalities of the brain to syndromic and nonsyndromic forms of X-linked mental retardation (XLMR) syndromes that can be associated with normal or abnormal brain morphology. Mutations in the human ARX gene are the major cause of developmental and neurological disorders.The present study was focused on screening of exon 2 of ARX gene in Indian families with mental retardation in order to obtain the relative prevalence of ARX mutations. Method adapted in present study was amplification of target exon by using polymerase chain reaction, qualitative conformation of amplicons by agarose gel electrophoresis and their use for conformation sensitive gel electrophoresis to find heteroduplex formation which is followed by sequencing.In present study we have found insertion mutation at genomic position 25031668, this change leads to loss of homeobox, OAR domains of ARX protein. The other mutation obtained was substitution of C to A/G is observed and does not affect protein functioning."}
+{"text": "The dataset originally included as The Data Availability statement for the article is revised to read: The authors have prepared a dataset that fulfills requirements in terms of anonymity and confidentiality of trial participants, and which contains only those variables which are relevant to the present study. Data are available as Supporting Information.S1 Dataset(DTA)Click here for additional data file."}
+{"text": "The interesting comments of Assistant Professor Cakir et al. highlighOur study showed a relatively high incidence of mild forms of depression in both groups of patients (patients with diabetic foot versus diabetic controls ). SevereBased on our data, we will support further investigation of psychosocial assessments in patients with the diabetic foot to improve their standard of living and therefore their quality of life."}
+{"text": "Sodium channel blockers are used to control electrical excitability in cells as a treatment for epileptic seizures and cardiac arrhythmia, and to provide short term control of pain. Development of the next generation of drugs that can selectively target one of the nine types of voltage-gated sodium channel expressed in the body requires a much better understanding of how current channel blockers work. Here we make use of the recently determined crystal structure of the bacterial voltage gated sodium channel NavAb in molecular dynamics simulations to elucidate the position at which the sodium channel blocking drugs benzocaine and phenytoin bind to the protein as well as to understand how these drugs find their way into resting channels. We show that both drugs have two likely binding sites in the pore characterised by nonspecific, hydrophobic interactions: one just above the activation gate, and one at the entrance to the the lateral lipid filled fenestrations. Three independent methods find the same sites and all suggest that binding to the activation gate is slightly more favourable than at the fenestration. Both drugs are found to be able to pass through the fenestrations into the lipid with only small energy barriers, suggesting that this can represent the long posited hydrophobic entrance route for neutral drugs. Our simulations highlight the importance of a number of residues in directing drugs into and through the fenestration, and in forming the drug binding sites. The treatment of cardiac arrhythmia, epilepsy and pain usually involves blocking the protein channels responsible for initiating electrical activity in nerves and muscles. Current drugs block all such channels, but improved medication requires compounds that can differentiate between the channels present in different parts of the body. Achieving this goal calls for a better understanding of the interactions of current drugs with the proteins. Here we use computer simulation to understand where a local anesthetic and an anti-epileptic bind to a bacterial sodium channel and how they find their way to this position, helping to uncover ways to selectively target different human channels. Voltage-gated sodium channels (Navs) are transmembrane proteins that initiate action potentials in excitable cells by responding to small depolarizing signals to allow the rapid influx of Sodium channel inhibitors exhibit a wide range of chemical moieties, but common to most of them is the presence of a phenyl ring connected to a basic nitrogen, with some combination of aromatic and aliphatic decorations Humans have nine different types of voltage-gated sodium channels, which are preferentially expressed in different tissue Arcobactor Butzleri, called NavAb, shows the protein is a tetramer of four identical subunits, with the pore axis running down the central axis While there are no atomic resolution structures of eukaryotic voltage gated sodium channels (eNavs), the recent publication of a number of structures of homologous channels from bacteria (bNavs) Despite the similarities between bacterial and eukaryotic voltage gated sodium channels that may make bNavs good models for studying tonic block, there are also functional and structural differences. NaChBac exhibits far slower gating kinetics than eNavs In order to better understand the mode of action of sodium channel inhibitors, here we use molecular dynamics simulations to examine the route of entry and mechanism of binding in NavAb of two channel-blocking drugs: the local anesthetic benzocaine, and the anti-epileptic phenytoin. Both are small, neutral drugs that bind inside the pore of eNavs As described above, mutation studies strongly support the notion that local anesthetics bind to residues in the central cavity. For this reason we limit our search for possible binding sites to the channel cavity and fenestrations in order to more extensively sample potential binding pockets (meaning that we will not pick up any sites on the exterior of the protein.) To gain a first appreciation of where the drugs might interact with the protein and to observe drug behaviour inside NavAb, we start our investigation by placing phenytoin or benzocaine in the middle of the central cavity of both the closed and inactivated conformations and allow them to explore the interior of the pore without external influence. Although the size of the cavity is small and the drugs rapidly move about in this region, the timescale of our simulations is shorter than the typical time taken for drugs to block the channel, so it is possible that the drugs will not find their way to the most likely site in the pore. However, this approach does enable us to make a first identification of potential binding pockets which can be verified with the more exhaustive metadynamics search described below. As will be described later, the same binding positions found in these equilibrium simulations are found in two additional independent methods, lending support to them representing likely binding positions in the bacterial channel NavAb.One of the most commonly occupied sites is formed by the hydrophobic pocket above the intracellular activation gate, created by the confluence of the four S6 segments at the pore axis are shown in Since both drugs are uncharged and there are no aromatic residues available for pi-pi stacking or cation-pi interaction in the NavAb channel lumen, nonspecific binding based on van der Waals attraction to hydrophobic pockets seems to be the dominant force behind drug association in our simulations. Both the identified binding sites involve significant interactions with residues at positions previously shown to be important for block in eukaryotic channels To assess the strength of binding relative to bulk in each of the two sites identified in the unbiased and metadynamics simulations we employed the method of free energy perturbation. Using this, the binding free energy of each drug in each site was determined, from which the dissociation constant was calculated for comparison to experimental measurements. As shown in For benzocaine, published values for the dissociation constant in closed eukaryotic channels range from 0.3\u20131.2 mM Experimental dissociation constants for phenytoin binding to the closed channel are rare, due to its low solubility and affinity to this state. In eukaryotic channels, phenytoin has been shown to bind to inactivated channels with a dissociation constant in the range of 4 \u2013 9 \u03bcM, with affinity up to 100-fold weaker in the closed state Drug passage through a hydrophobic pathway has long been hypothesized in sodium channels As shown in Movement of benzocaine and phenytoin through the fenestration is associated with extension of water chains from the channel lumen into the fenestration and possible retraction of resident lipid tails. Without the drug present, lipids extend into each fenestration for the majority of our simulations eg as suspeMoving from the bulk lipid into the fenestration requires the drugs to move into the hydrophobic core of the membrane, something previously shown to be unfavourable Accurately converging the right hand side of the free energy profiles is difficult. Once the drug leaves the fenestration it can sample more positions at the given coordinate value and there are a number of slow motions that are hard to sample in the 30 ns of simulation we allow for each drug position. These slow motions include lipids entering/leaving the fenestrations, the drug moving between leaflets of the bilayer and the formation and breakage of water chains. Although the PMF does not change significantly when we extend our simulations we have Using molecular dynamics simulations we have characterised the likely binding sites for benzocaine and phenytoin inside the central cavity of NavAb, with 3 independent simulation methods yielding consistent results. Both drugs are found to bind either in the hydrophobic pocket formed by the activation gate or at the entrance to the hydrophobic fenestrations. In both cases, the drugs interact with residues found to be important in binding in eNavs. But, we find this association is due to non-specific hydrophobic interactions meaning that binding occurs due to the overall architecture of the central cavity rather than interactions to specific residues. Although our simulations clearly identify the likely drug binding sites in the channel, it is not yet clear if the binding of more than one drug is necessary to occlude the pore or prevent channel opening. Our simulations also provide a plausible rationalisation for the differences seen between tonic and use dependent block, as interaction of cationic drugs with aromatic residues are essential in the use dependent case but not for resting state block Our results also show that the hydrophobic fenestrations seen in NavAb can serve as conduits for benzocaine and phenytoin to enter the central cavity and thus can form the long hypothesised hydrophobic entrance route The large degree of sequence similarity in the pore forming regions of eNavs makes the design of subtype selective channel blockers a difficult goal. Elucidating the mode of entry and binding of existing channel blockers is an important step toward achieving this aim. Here we have been able to do this for benzocaine and phenytoin in a bacterial channel, but it is not clear how much about binding in eukaryotic channels can be inferred from this given the significant differences between these families of proteins. For example, the nature of binding seen here is likely to be less specific than that in the eukaryotic homologues. Additional functional studies of drug block in bacterial channels, increased availability of structural information about the different functional states of bacterial channels, reliable models of eukaryotic channels and detailed investigations of specific drug-residue interactions in tonic and use-dependent block will all aid progress toward the design of subtype selective channel blockers.Two simulation systems were set up based on the NavAb sodium channel with coordinates obtained from the protein database: a closed/pre-open channel; PDB accession code 3RVY In order to gain a first idea of the likely position of drug binding in the central pore cavity, three simulations lasting 125 ns each were run for each protein/drug system . In each of these the drug was placed in the center of the cavity with a different random orientation. Once complete, the first 25 ns was excluded from further analysis to allow for equilibration of the drug in the channel, and the three trajectories for each protein/drug system were combined. Cluster analysis was performed on the drug position in the combined trajectory using the quality threshold algorithm to locate the most commonly occupied drug positions. For this purpose we clustered according to RMSD of the drug coordinates using a cutoff of 3 \u00c5. To determine which residues the drug interacts with in potential binding sites, the NAMDEnergy plugin was used to measure the interaction between the drug and chosen residues for selected subsets of the trajectory corresponding to each cluster.To better assess if the equilibrium simulations had sampled the most likely drug binding poses, metadynamics Free energy perturbation The equilibrium constant of the drug binding to each site were calculated using the following relation The energy profile for drugs to pass through the lateral fenestrations from the channel cavity into the lipid bilayer was determined using umbrella sampling Figure S1Orientations of the drugs as a function of time during the metadynamics simulations.(PDF)Click here for additional data file.Figure S2Representative snapshots of the binding poses of benzocaine phenytoin.(PDF)Click here for additional data file.Figure S3Drug-protein interaction energy decomposition. The interaction energies for benzocaine and phenytoin and residues in NavAb are decomposed into van der Waals and electrostatic components.(PDF)Click here for additional data file.Figure S4Snapshots from umbrella simulations. These show benzocaine and phenytoin occupying a hydrophobic fenestration at the same time as a lipid molecule from the bilayer.(PDF)Click here for additional data file.Figure S5Convergence of the potentials of mean force (PMF).(PDF)Click here for additional data file.Figure S6Cross-section of the simulation system used in this study.(PDF)Click here for additional data file."}
+{"text": "Since the middle 1990s biologics have been available for rheumatic diseases. The initial experiments showed efficacy for symptoms and signs but concern was expressed about tachyphylaxis and absence of a true DMARD effect. Combining the antibodies with methotrexate answered some of these criticisms and since that time the number of agents available for rheumatoid arthritis, psoriatic arthritis and spondyloarthropathy has grown.It is clear these agents work, what is less clear is how they should be used to produce optimum cost benefit. The ever expanding market has attracted a large number of pharmaceutical players to this area and this shows no sign of abating. Also there are number of new drugs including oral synthetic DMARDs becoming available.None declared."}
+{"text": "Breast cancer is the commonest malignancy of women in many parts of the world and comprises 18% of all female cancers. There is one million new cases in the world each year. Neopterin which is a pteridine produced by activation of monocytes by IFN-\u03b3 may be used as a marker of immune system activation. The biological function of neopterin is still largely unknown and certain patho-physiologic roles have only recently been elucidated. Therefore, the aim of this work was to investigate the role of neopterin in females with primary and metastatic breast cancer. The obtained results were correlated with different clinicopathological data of those patients. The study population included females with primary and metastatic breast cancer as well as healthy age matched females were taken as a control group. Peripheral blood mononuclear cells were separated from each subject under study by Ficoll-Hypaque density gradient centrifugation technique. The isolated cells were cultured with and without PHA and neopterin levels were measured in serum and culture supernatants by ELISA technique. The results showed that neopterin levels were lowest in serum, followed by culture supernatants without PHA and highest in culture supernatants with PHA in each studied group. The mean neopterin values in serum and culture supernatants with PHA of metastatic breast cancer patients were significantly higher than in the primary breast cancer patients and the control group. Our results also indicated that neopterin levels positively correlated with the tumor grade, tumor stage and the presence of metastasis. From all mentioned data it is clear that, measurement of neopterin either in serum or in culture supernatants with or without PHA can give an indication about immunological status of breast cancer patients' response to therapy and early detection of metastasis. It gives an important and valuable prognostic information before surgical intervention is performed."}
+{"text": "Reducing human infectivity of malaria parasite through early and effective treatment amongst under-five children is a major concern of WHO & MDGs 4 & 6. Getting mothers to bring their children to the nearest facility early for malaria treatment remains a major challenge.To explore health seeking behaviours and cultural attitudes of mothers of under five children suffering from malaria in Ile Ife using moderate interviews and providing recommendation to the Ministry of Health of Osun State to serve as knowledge basis for developing appropriate intervention.The study employs a qualitative research with the aid of purposive sampling, 16 women who brought their under five children to hospital for malaria treatment were recruited. A moderate interview was used to explore the experiences of the mothers and the data generated was subjected to thematic content analysis.Five themes emerged from the study. All respondents recognized fever as the major feature of malaria but their knowledge of what causes it, symptoms and sign was poor. They all perceived malaria as a simple disease for which mothers should be comfortable to apply home based remedies such as herbal concoctions. Religious beliefs did not prevent mothers from seeking hospital care but some are aware of mothers that rely on Holy water and prayer to treat malaria. Poverty is seen as an impediment to seeking treatment mostly by women in a polygamous relationship. Fear of use of injection to treat malaria in hospital coupled with perceived poor attitude of hospital staff was considered by some mothers.The study observed that mothers had poor knowledge of malaria; cultural beliefs in home remedies and poverty are issues that affect malaria outcome. Health education of the malaria life cycle, treatment and prevention is necessary for mothers as well as empowerment of women."}
+{"text": "NZ is considered a bicultural society; Maori make up approx 15% of the population (NZ census 2013). Maori have strong cultural traditions and beliefs around food, with food not only determining physical health but also emotional, psychological and spiritual wellness (HRC report). Food is also strongly linked to customs and cultural values. The implications and understanding of eating disorders in this group are therefore complex.Mental Health services traditionally struggle to both engage and treat the Maori population. Eating disorders rates are low overall in the general population; research suggesting that there was a very low prevalence overall for eating disorders in Te Rau Hinengaro. However, the highest prevalence of eating disorders, particularly bulimia, was in M\u0101ori (BPJ 2010).With this in mind there are several challenges to consider when planning and offering services to treat eating disorders in this population.The CMDHB covers an area with high Maori population and provides a culturally specific service for both adults and young people. The rates of referral of Maori to the CMDHB Eating Disorders Service are low overall, despite this there is a recognised unmet need in terms of recognition and support for these difficulties. Often young people present with complex needs with eating issues part of this presentation. Traditional treatments pose dilemmas when considering the cultural aspects of engagement and working with maori families; as well as the explanatory models used to think about eating issues. This presentation will consider these challenges and use a case example to support ideas to improve services and outcomes in this population."}
+{"text": "Drosophila melanogaster and human cells. They also reported that Rab5 is required for the correct alignment of chromosomes at the metaphase plate, an important step for the proper segregation of chromosomes.Mitosis is a crucial event that controls the equal partitioning of the genetic information between the two daughter cells. Failure in this process can cause various human genetic diseases and can contribute to cancer onset and development. For many years cell division studies focused on the identification and analysis of the mechanisms and signaling pathways that control microtubule dynamics and chromosome behavior, however in recent years other important cellular and regulatory processes have been implicated in various aspects of cell division and our traditional view of mitosis has changed. In particular several studies have highlighted the importance of membranes , the Drosophila counterpart of the nuclear mitotic apparatus protein (NuMA) (Bowman et al., Drosophila, human Rab5 was found to be required for chromosome alignment, but interacted with a different mitotic player, CENP-F required for chromosome congression (Liao et al., During mitosis, RNAi-mediated depletion of Rab5 induced chromosome alignment defects at the metaphase plate and delayed mitotic progression both in s Figure and it wDrosophila and human cells employ Rab5 proteins to direct membrane trafficking involved in the regulation and transport of key mitotic regulators important for the fidelity of chromosome segregation (Lanzetti, Together, the findings of these papers indicated that incomplete disassemble of the nuclear envelope affected the release and localization of important proteins for spindle assembly and maintenance. They also showed that both In conclusion, these findings indicate that mitosis requires more than just microtubules and chromosomes, and increasing evidence over the last years has pointed out that a membranous system surrounding the mitotic spindle is important not only to confine important mitotic proteins around the spindle (Capalbo et al., The author declares that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Very few qualitative studies on cluster headache have been conducted. As a result we have little in-depth understanding of the perceptions and experiences of cluster headache patients and the health professionals who treat them. With this research we aim to rectify that gap.The overall objective of the project is to gain insight into the perceptions, experiences and understandings of cluster headache from the perspective of three key stakeholder groups: the cluster headache patients, GPs and neurologists. We present here the findings of our literature study and identify the emergent themes which we will use during the interview studies for this project.A qualitative study using semi-structured interviews with the three participant groups. A systematic qualitative methodology is applied to the transcribed interviews.This study runs from August 2014 to June 2015 and data collection is currently in process. Therefore all results are tentative. Early findings show that this study sheds new light on the following aspects: early detection and diagnosis; health education and promotion; effective treatment and management of cluster headaches.This study will identify the particular challenges for each stakeholder group\u2014patients, general practitioners and neurologists\u2014with respect to early detection of cluster headaches and ways in which treatment and management can be facilitated. We envisage this study will raise awareness about the importance of early diagnosis, health education and the need for effective treatment pathways for cluster headaches."}
+{"text": "The Micro Cellular Rubber (MCR) unit established in Vizinagaram, Andhra Pradesh in India by The Leprosy Mission Trust India (TLMTI) caters to the need of poor Leprosy affected patients with neuropathic feet within India and to countries nearby India. The MCR Unit till date has provided over a million pairs of MCR insoles to all with anaesthetic feet and still continues to do so.The MCR sheets manufactured with a shore hardness of 15' Shore 'A', has helped prevent high pressure points and thus avoid plantar ulcers in anaesthetic feet. Natural Rubber along with several other chemicals is used in optimum quantities to manufacture MCR. The unique manufacturing process gives MCR the ability to spring back to original shape when pressure is released while walking.The larger size (24\u201d X 20\u201d) coloured MCR sheets with 10mm thickness has become an ideal rubber to prevent stigma for deformed anaesthetic feet. The cost effectiveness in the production of the MCR rubber has helped the poor leprosy patients afford and use the MCR insoles for their footwear. Association and constant interaction with various shoe and footwear companies have led to experimentation and development of newer designs in MCR sandals. High quality and standards of the MCR insoles are maintained through periodic standardised quality tests carried out both within and outside the organisation.Although the initial purpose of the MCR unit was to cater to the needs of Leprosy affected people, in course of time, various Orthotic & Prosthetic centres realized the value and have started using MCR in their products, especially for Diabetic foot care. Since patients use and prefer protective MCR footwear to prevent ulcers, protect and cover their anaesthetic and deformed feet, it is essential for MCR production units to constantly upgrade and develop newer designs and give the patients and opportunity to choose. At present TLMTI uses 50% of its annual MCR production and the rest is used by other NGOs and Orthotic centres.With time there has been a rapid change and development in the design and manufacture of footwear, however there has been no alternative to MCR insole footwear. The constant strive of introducing and making use of MCR footwear in other general disabilities have reduced the stigma of MCR\u2019s in leprosy to a great extent."}
+{"text": "Disorders of consciousness (DOC) present a clinical challenge in diagnosis, prognosis and defining appropriate treatments that aim at improving the patient's care and quality of life. As there is no universally accepted definition of consciousness, DOC are difficult to define, elucidate and diagnose have facilitated the integration of structural and functional methods enabling a greater understanding of the variation in different states and transitions of a DOC, as well as some individual differentiators within the spectrum (Laureys et al., EEG can measure brain signals of neuronal activity over bandwidths of frequency ranges recorded with dozens or hundreds of scalp locations over different timescales; it has particular relevance when considering brain dynamics and the mesocircuit model in DOC. Brain dynamics are measured through signal oscillations which act as communication connections integrating brain functions. They are important for the mediation and distribution of higher functional and synchronized processes in the human brain (Sauseng et al., The most accepted measure of interaction and connectivity is that of coherence, a generalization of correlation to the frequency domain. Coherence is used to study the relationship and interactions between EEG channels and between brain regions (Nolte et al., In DOC, coherence is used to study connectivity and synchronization between brain regions. Correlated activities amongst brain areas or electrodes can determine patterns of functional connectivity, which is known to be impaired in DOC (Noirhomme and Laureys, One of the main limitations of this approach is that coherence values must be interpreted carefully, as they can be contaminated by artifacts between electrodes caused by reference and by volume conduction which is pertinent to the DOC population. Volume conduction can impact interelectrode connectivity results due to the spatial autocorrelation between electrodes which measures connectivity between the two brain regions where the electrodes are placed, this is further impacted by skull injury and craniotomy following a TBI Cohen, . This haResearch using the modified imaginary coherence across difference frequency ranges and brain regions in DOC using resting state and diverse stimuli has expanded significantly over the last few years (e.g., Le\u00f2n-Carri\u00f2n et al., EEG studies of coherence can be used to assess the effects of auditory stimuli in DOCs. One of the most reliably tested methods is using salient auditory stimuli either through music therapy or music intervention that is meaningful or personal to the patient. DOC studies have identified that auditory stimulus with personal and/or emotional meaning produces meaningful results compared to unrelated auditory stimuli (e.g., O'Kelly et al., Music therapy is an established rehabilitation intervention in DOC (Magee et al., More research is needed on the mesocircuit model and thalamocortical synchronization to develop an EEG regional coherence methodology in order to analyse and compare cortical regional connectivity in response to rehabilitation interventions, including music therapy. The application of these models in a clinical setting could help develop an EEG regional coherence methodology to analyse and compare cortical regional connectivity in response to music rehabilitation interventions.It is important to understand if an increase in connectivity across the mesocircuit pathways could be an indicator of the conscious state and neuroplasticity, and whether such a change could monitor the functional recovery in line with the earlier works Schiff, . This apThe application of the mesocircuit and thalamocortical connectivty models using EEG coherence measures could lead to a more objective determination of the state of consciousness in patients with DOC and any transitions that may happen across the continuum within the different states through the trajectory of rehabilitation with the contribution of music therapy. It is hoped that the development and adoption of such clinically applicable and complementary tools across DOC patient populations will enhance the existing practizes to provide more translational and differential evaluation of post-injury diagnosis and throughout rehabilitation.VL is the lead author. Both VL and JO contributed to the conception and design of this work. VL drafted the manuscript and JO revised it critically for intellectual content. Both authors approved the final version of manuscript. Both VL and JO agree to be accountable for all aspects of the work.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "We report a case of Arrhythmogenic Right Ventricular Cardiomyopathy (ARVC) which illustrates the natural progression of disease in the absence of availability of an implanted cardiac defibrillator (ICD). Electrocardiograms and cardiac imaging show the progress of ARVC and these clinical milestones of disease are presented herein. ARVC is a largely inherited cardiomyopathy that affects mostly young otherwise healthy individuals and is associated with an increased risk of sudden death . The morAn 18-year-old Chinese man was sent to the hospital after suffering syncope while playing basketball. After a 12-lead ECG revealed ventricular tachycardia and a suThe deterioration of parameters on ECG and ECHO indicates a poor prognosis. Such clearly illustrated progression from diagnosis to SCD on clinical testing allows for better visualization of disease progression and may heighten clinician suspicion of disease and recognition of an ominous course. The lifesaving therapy for ARVC is ICD placement and this case corroborates the diminishment of the prognosis in its absence."}
+{"text": "To the Editor: We would like to add some specification and clarification to the discussion regarding the diagnostics and case definitions for urinary schistosomiasis in travelers to Corsica, France exhibited atypical morphology that S. haematobium uses is safe. Epidemiologic analyses should take into account the role of zoonotic S. bovis infection and supplement parasitological investigations with molecular analyses (We recommend that clinicians treat any suspected case of"}
+{"text": "In this study, we investigated the gene expression profiles between female and male mice using the sfx mouse model and BXD RI strains. The objective of this study is to identify sex differentially expressed genes in bone using the sfx model and BXD RI strains.Geber and Murphy found thx) mouse which lasfx mice. We then analyzed the potential gene network among those differentially expressed genes with whole genome expression profiles generated using spleens of female and male mice of a total of 67 BXD (C57BL/6J X DBA/2J) recombinant inbred (RI) and other strains.We first identified the genes that are differentially expressed in the femur between female and male sfx mice from either female or from male mice than we found previously using RNA of a mixture of female and male mice. It is obvious that the skeletal system is different between female and male. The female and male skeletal system is most likely to react to the VC deficiency in sfx mice differently. The comparison between disease and control samples using data of sex mixture suffers from neutralization of gene expression levels between the female and the male. This result suggests that in the study of genes that are potentially affected by the sex or the gender, data from female and male individuals should be analyzed separately. Many reports have been using the sex balanced data of mouse strains.By analyzing the female and male mice separately, we found many more differentially expressed genes between wild type and Our data posed a question about whether the balanced data should be used without understanding of the sex differences."}
+{"text": "Due to high resolution cytogenetic microarray (CMA) has replaced traditional karyotyping for evaluation of individuals with intellectual disability, autism and congenital malformations. The diagnostic yield of CMA is 10 to 12 % and is more than any other investigation for evaluation of developmental disabilities. Due to its high resolution CMA is also being used as a prenatal test for chromosomal anomalies. The diagnostic yield is about 3% whatever may be the indication. The yield is higher in cases with fetal anomalies. The main concern with CMA is its ability detection of copy number variations of unknown significance. This is a major problem in prenatal diagnosis and is a challenge for the counselor and dilemma for the family in concern. With accumulation of more and more data of pathological and polymorphic variations in genome the variations of unknown significance will decrease. CMA is also useful in delineating abnormalities picked up by karyotyping. Some cases with double segment rearrangement may point towards familial chromosomal rearrangement and hence, CMA is indicated in familial cases with developmental disabilities and birth defects.Cost and availability of clinical cytogeneticists for appropriate interpretation of CMA results are important concerns for wider application of the technique."}
+{"text": "The traThe unexplained repeated implantation failure (RIF) is still another unsolved and one of the principal problems to affect the outcome of assisted reproductive technology (ART). The successful embryo implantation requires accurate temporal regulation of maternal immune function and endocrine system . The pasThe \u201cbest viable\u201d embryo selection and also the optimal implantation regulation, both are going to be solved by new diagnostics and treatment methods based on personalized omics profiling . MoleculThe goal of our effort is to point out new and potentially useful biomarkers that can be used for the improvement of pregnancy rates after the assisted reproduction techniques (ART) in near future and also to emphasize some of the novel molecular targets and biomarkers that have been reported recently and might contribute to new strategies of infertility management that will return a hope of natural conception for selected couples.Evaluation of such markers may help clinicians to predict pregnancy outcome and detect occult implantation deficiency. Moreover, these novel molecular targets are expected to apply to the clinical practice from bench to bedside and improve the implantation efficiency in ART."}
+{"text": "It has been proposed that one of the causes of stuttering is a deficit in brain timing networks Alm, . In stutNeural oscillations in the beta frequency band (15\u201330 Hz) are classically related to motor activity , are more likely to reflect anomalies related to the cause of stuttering rather than consequences of stuttering (see for review Chang and Zhu, If abnormal beta power arising from the striatum is causally related to stuttering, then fluency inducing manipulations should normalize beta power. This contention is supported by functional neuroimaging and electrophysiological studies. The finding that putamenal beta band oscillations are biased toward internal timing (Bartolo et al., hypoactive beta oscillations in the basal ganglia. DAF may have normalized the beta band oscillations in the basal ganglia thereby reducing the need for compensation via hyperactive beta in the cortex. This idea suggests both AWS and CWS should exhibit reduced beta band responses in the putamen when internalizing rhythms. The fact that fluency-inducing mechanisms reduce the hyperactivity of the beta band in the cortex has major implications for stuttering. Firstly, it implies that without regular external stimulation, AWS have abnormal beta oscillations in the cortex and possibly the striatum. Secondly, normalizing compensatory hyperactivity in the cortex as well as temporarily alleviating stuttering implies that DAF may act to normalize hypoactive oscillations in the striatum.It is unclear whether the hyperactivity of the beta band activity in stuttering (Rastatter et al., In summary, if stuttering is a disorder of internal timing and internal timing is represented by modulations of oscillatory power within the beta band in the striatum, then it is likely that the cause of stuttering is reflected in abnormal beta band oscillations in the putamen. This is consistent with the structural and functional abnormalities in CWS (Beal et al., The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "We report the results of a simulation study in which we explore the joint effect of group absorptive capacity and cognitive distance on the emergence of collective rationality in groups. We start from empirical results reported in the literature on group rationality as collective group level competence and use data on real-life groups of four and five to validate a mathematical model. We then use this mathematical model to predict group level scores from a variety of possible group configurations . Our results show that both group competence and cognitive distance are necessary conditions for emergent group rationality. Group configurations, in which the groups become more rational than the most rational group member, are groups scoring low on cognitive distance and scoring high on absorptive capacity. As groups become ubiquitous information processing units in modern organizations, emergent group level cognitive properties received considerable attention in the literature Of particular interest for research advancement and practice is strong cognitive/rational synergy, reflecting the extent to which the group as a whole is more rational than the most rational member of the group. Previous research pointed towards the fact that strong synergy is not easily achieved An important antecedent of emergent group rationality is the initial configuration of group members\u2019 individual rationalities. Cognitive distance as reflected by the detachment of the most rational group member from the rest of the group has a nonlinear association with both weak and strong group synergy Therefore, average individual rationality is a form of group absorptive capacity likely to be beneficial for strong cognitive synergy. The concept of absorptive capacity originates in the general management literature and describes a social system\u2019s capacity of acquiring, assimilating, generating and transforming knowledge in order to achieve a competitive advantage Groups composed of members varying in their task-related knowledge and cognitive competencies often face the issue of bridging these differences in order to reach consensus on a decision or problem solving approach. For disjunctive tasks, in which the task accomplishment depends on the most knowledgeable or competent group member, groups often have to bridge the cognitive gap between the most knowledgeable group member and the rest of the group. Previous empirical research tested models that predict a non-linear association between cognitive distance (defined as the cognitive gap between the most knowledgeable group member and the rest of the group members) and cognitive synergy Building on the above mentioned arguments, Meslec and Cur\u015feu Meslec and Cur\u015feu We argue here that groups with high absorptive capacity are better equipped to integrate effectively the knowledge shared by the most knowledgeable group member and as such they are more likely to successfully bridge the cognitive gap that separates the best performing individual in the group from the rest of the group. Such a claim is very difficult to test in real life settings, because it is extremely challenging to find enough groups to cover all possible group configurations in which both cognitive distance and absorptive capacity to vary. We therefore set out to develop a simulation model and test the effects of the interplay of cognitive distance and absorptive capacity on strong and weak cognitive synergy. Computational experiments can capture, starting from existing relations as identified in the empirical studies with real-life groups, relationships between variables and then extrapolate these relations for all possible configurations of the two variables explored. As argued, this extrapolation will never be possible in real life as it is close to impossible to gather data on groups that cover all the spectrum of possible combinations between cognitive distance and absorptive capacity. Starting from real life data reported in previous studies Specific approval from the university ethics review board was not required since this study reports a simulation based experiment and it did not involve additional data collection from human or animal subjects. Data for testing the mathematical model used in the simulation was obtained from previously published studies.With the consent of the authors we used real life data from previously published papers on group rationality The group data is split up by group size, and then groups of different sizes are treated separately in order to control for the co-varying of cognitive distance measure with group size. If we were to investigate groups of all sizes simultaneously, we would have had to contend ourselves with only averaged individual performance and the within group standard deviation, and perhaps the best individual performance in the group to ensure model fit \u2013 therefore rely on much less data than in the current approach. Afterwards, the columns for each group are sorted according to the individual performance. We then performed a linear regression of the group score based on the sorted individual scores. For a group of size five, we get five individual coefficients: Group absorptive capacity and cognitive distance were the independent variables in our simulation study. We used the average individual rationality within groups as a measure of groups\u2019 absorptive capacity and we used a heuristic method of computing cognitive distance. Based on the guidelines reported in Meslec and Cur\u015feu Our simulation was programed and ran in MATLAB version 8.1.0.604 (R2013a). In the supporting information folder we preseAs illustrated in both figures, our simulation study replicated the empirical results presented in Meslec and Cur\u015feu Although common in behavioral ecology, simulation studies starting from real life data According to our simulation results, a necessary condition for achieving strong cognitive synergy is that individual group members score high on rationality. If groups are composed of irrational individuals, they do not have the potential to become more rational than their most rational member. This finding is somehow at odds with studies on animal collectives showing that groups composed of irrational agents can in fact make rational choices Another important result of our simulation study, refers to the association between cognitive distance and group rationality (as strong cognitive synergy). At very low levels of cognitive distance, there is a small positive association between group competence and strong synergy. This pattern of results suggests that low cognitive distance is yet another necessary condition for achieving strong cognitive synergy. To conclude, our simulation study identified two necessary conditions for reaching strong synergy in groups. One of the necessary conditions is high group competence (absorptive capacity) and the other is low cognitive distance. When at least one of these conditions is not fulfilled, groups have little chance of achieving strong synergy that is, becoming more rational than their most rational group member. Yet another configural characteristic conducive for strong synergy is group size and according to our simulation results, at high levels of group absorptive capacity, groups of five have a higher chance of reaching strong cognitive synergy than groups of four. Availability of cognitive resources varies with group size and it is possible that groups of five with high absorptive capacity have more cognitive resources they can use to achieve strong synergy as compared to groups of four. This pattern of results comes at odds with previously reported negative association between group size and strong synergy File S1In the supplementary material folder labeled (ZIP)Click here for additional data file."}
+{"text": "The earliest application of evolutionary theory, although unknowingly at the time, was artificial selection of crops and animals for food production. Ever increasing technical advances in breeding, genetic engineering and comparative genomics have since led to a rapid acceleration in the rate of such selection, although many of the basic principles underlying the process have remained the same over time. For example, whereas we used to inter-breed among genotypes and even species to generate standing genetic variation upon which to select, we can now introduce specific genes of interest directly into the preferred genetic background.Much of crop domestication historically has involved increased yield and size (for example of fruit or seed), and this has resulted in parallel and often convergent selection upon traits and even genes of interest. Recent work by Dorian Fuller and colleagues used archaeological plant remains from around the world to examine the parallel acquisition of so-called \u201cdomestication syndrome traits\u201d across both plant species and regions (Fuller et al. Improved understanding of the evolutionary process as well as major technological advances means the pace of artificial selection has intensified and our ability to respond to changes in both the abiotic and biotic environment has improved greatly. Our ability to translate understanding of plant genetics and genomics into meaningful applications in crop science is discussed in a new piece by Pamela Ronald Ronald . The worArabidopsis thaliana in order to determine the specificity and consequences of evolution on one host to infectivity on another. They use experimental evolution to show rapid increases in infectivity and virulence on the host background in which the virus has been adapted, but also demonstrate that some host types select for viral populations that are more generally infective to other types (Hillung et al. Given the rapid potential for adaptation, many predictions regarding pest or pathogen evolution can be directly tested in the laboratory in order to inform better disease management. Recent work by Julia Hillung and colleagues examined the adaptation of a plant RNA virus to various ecotypes of Importantly, the utility of evolutionary theory for agricultural practice is not limited to pest and pathogen interactions. The increasingly clear role of the microbiomes across the rhizosphere and phyllosphere suggest great potential for application of both community ecological and evolutionary thinking. Suzanne Donn and coauthors examined the changing soil microbiome of intensive wheat crops across years and found that, relative to soil in the absence of plants, rhizosphere communities changed substantially over time in the presence of plant roots and these temporal dynamics could be explained well based on the stage of plant development (Donn et al. Overall, although artificial selection has been central to agricultural practice since its dawn, we are still constantly improving our ability to speed up the selective process, incorporate adaptation across heterogeneous environments, and allow for a more responsive management program in the face of coevolving enemies and mutualists. As such, there remains great promise in our ability to increase crop yield and decrease the use of pesticides and fertilizers through the application of evolutionary thinking."}
+{"text": "Pathology of posterior horn of medial meniscus is common and often presents a difficult approach during arthroscopy for various reasons. We describe an easy maneuver to facilitate \u201cdelivery of the medial meniscus\u201d during arthroscopy. Treatment of medial meniscus pathology is one of the most commonly performed arthroscopic and often presents difficult access during arthroscopy , 2. TherWe describe a technique to improve medial meniscus posterior horn accessibility without use of additional portals or tools.Standard anterolateral and anteromedial portals are used to enter the knee joint. Lateral compartment procedures are completed as it can be easily enlarged by conventional techniques. Medial compartment is assessed and configuration of medial meniscus tear is established through the anterolateral portal. The degree of opening of the medial joint is assessed by valgus stress in extension and slight internal rotation of the knee. If the standard 4\u00a0mm shaver can enter the posteromedial corner of the knee the space is usually adequate to access the posterior horn. Stable flap tears in the posterior horn can easily be resected using a cutting punch and oscillating shaver. The peripheral portion or unstable flaps become difficult to reach due to \u201cposterior slipping away\u201d of the posterior horn of the meniscus especially in cases of menisco-capsular separation. In this scenario we use the technique of \u201cmeniscus delivery\u201d. With the knee in 20\u201330 degrees of flexion, valgus stress is applied and the medial joint is allowed to open as much as possible, then the assistant places the middle or index finger on the posterior knee surface just medial to the semimembranosus tendon at the level of the joint line, and applies anteriorly directed pressure towards the centre of knee joint . This deIt is often difficult to visualize the posterior horn of the medial meniscus during arthroscopy and struggling to enter this part of the compartment may lead to iatrogenic cartilage injury and/or instrument damage. The maneuver we describe uses routine tools and allows easy access to the posterior horn without the need for additional portals or special tools. The push to the posteromedial aspect of joint must be done in the valgus opened knee and this allows delivery of the posterior horn into view for easy accessibility. This technique takes no extra time and is especially helpful in tight knees and osteoarthritic knees. It is described for the medial meniscus only as the lateral meniscus is usually easy to approach by conventional methods.The authors declare no conflict of interest in relation with this paper."}
+{"text": "There is a lack of experience in implementing clinical guidelines in Norway and most guidelines are put into practice without an implementation plan. This presentation is part of a project dealing with developing strategies for implementing a clinical guideline for persons with concurrent mental disorders and substance use disorders. Purpose To describe the different tools that have been developed to implement the guideline and thereby bridge the gaps between current practice and clinical guidelines.We have put an emphasis on leaders, patients/ families and service providers. For leaders we have established a toolbox for managers including equipment for doing clinical Audits and a practical guide for how to change practice. Representatives from patients organizations have selected and promoted the 10 most important recommendations. An electronic version of the guideline has been developed which in addition to the national dual diagnosis competence training program, are important tools for service providers.The national training programme has gathered around 200 to 300 service providers, leaders and users on 17 locations in Norway. Unfortunately, mental health workers and leaders are more absent from the seminars than addiction workers. One important objective of our implementation efforts is that health care workers should participate in continuous training using our internet-based educational training packages like video lectures, instruction videos, screening tools etc. The 10 user selected recommendation have been widely distributed and might also be downloaded as Apps. The clinical Audits have been used in several institutions and departments and we are now developing a community and user Audit. We will present some finding on the use of our net tools and Apps during the presentation.In an effort to bridge the GAP between the guideline recommendations and current practice, several measures have been put in place targeting leaders, service providers and users. One of the hurdles we have faced in the implementation is security systems and data programs used by the health authorities making access to our net based tools difficult."}
+{"text": "Dang and colleagues recently reported in the journal that tumor response to definitive chemoradiation, as assessed using the RECIST criteria, and the risk of radiation pneumonitis were positively correlated in patients with non-small cell lung cancer (NSCLC). We had previously reported similar findings in a study that used positron tomography both to measure tumor response and to assess normal tissue toxicity in patients treated with chemoradiation for NSCLC. Taken together these reports suggest that radiosensitivity of normal tissues and tumors may be strongly linked in a proportion of patients with lung cancer. We read the recent article published in the journal by Dang and colleagues with interest . These a"}
+{"text": "The Editorial on the Research TopicMolecular Regulation and Therapeutic Potential of Thermogenic Fat CellsMuch of systemic metabolism depends on the activity and function of adipose tissue. Adipocytes in mammals fall into two categories classified by their primary functions: white fat cells that mediate energy storage and thermogenic fat cells that counteract hypothermia and obesity through adaptive thermogenesis. Whereas white fat and its function as an energy reservoir and endocrine organ have been studied for decades and are relatively well understood, until recently, many aspects of thermogenic fat biology have remained elusive.It has long been appreciated that the thermogenic brown adipose tissue that exists in the interscapular depots of small rodents, hibernating mammals, and human infants provides significant evolutionary advantages against cold stress . The lasPark et al.; Mueller; Bayindir et al.]. Reviews and a perspective article next explore how mitochondrial function, including redox homeostasis, is regulated within these thermogenic adipocytes . Central control of adaptive thermogenesis and other functions of thermogenic adipocytes are also highlighted . Importantly, several articles illustrate that interconnections exist between adipose tissue function and overall metabolic health, and how to increase the content and activity of these cells to ultimately fulfill their therapeutic potential in humans . As technology has advanced, novel interdisciplinary approaches have been developed to harvest the thermogenic capacity in fat tissue toward the control of obesity and metabolic diseases . We anticipate that all these articles will help the scientific community, both experts in the brown and beige fat area and newcomers entering the field to understand the molecular mechanisms of brown/beige fat development and induction, and appreciate the physiological impact of thermogenic fat activity. I would like to thank all the authors and reviewers for their contribution and discussion to put together this wonderful topic that may inspire further interest in this exciting new field.In this research topic, leading experts in the energy metabolism field provide an overview of our current understanding of these metabolically active fat cells. We begin our discussions with mechanistic insights on the transcriptional regulation of thermogenic fat cells [JW conceived and wrote the manuscript.The author declares that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Casemix Grouper software is a tool to improve efficiency and quality of care in hospitals and medical centres. The utilisation of Casemix Grouper among hospitals is very limited and depends on their existing local machine and hardware. While Casemix Grouper provides a crucial output in the form of Casemix groups, the hardware machine should not be a limiting factor to hospital. Thus, the objective of this development was to provide the utility for end user to use the Casemix Grouper on web environment.The conventional way of providing Casemix Grouper service is by deploying standalone software at user\u2019s local machine. This will create problem when user\u2019s machine are diverse and does not meet the requirement for running the Casemix Grouper. The online Casemix Grouper will have 2 modules, which are for user and for the admin. The user module includes the authentication login and then uploading the input file. Developing a web based using Java Servlet Page (JSP) will provide access to all the available browsers on any operating system, so that end user can upload the Casemix input file. After the input file has been uploaded, online grouper will process the input file and generate an output file. The user will receive the output file via user-registered email. The admin module will also have authentication login and will be able to monitor the whole process for each users.With the implementation of Casemix Grouper as a web-based application, user can now avoid the stringent hardware requirement on their local computers for standalone Casemix Grouper. The end users can now focus only on generating the input file and will receive output file without extra effort. This usage of web application of Casemix Grouper software will facilitate the provision of efficient and quality care in hospitals and medical centres."}
+{"text": "When it comes to prevalidation, it is assumed that a higher preoperative level of physical activity leads to better postoperative recovery. However current literature is inconclusive about the effect of prevalidation on functional recovery of patients with primary osteoarthritis (OA) who underwent a THA or TKA. Therefore the aim of this study is to analyse one of the major assumptions underlying the potential effectiveness of prevalidation namely the relationship between preoperative physical activity level and postoperative recovery one year after THA or TKA in a group of 658 OA patients.From 2006 to 2012, 1061 patients underwent a primary THA or TKA at University Medical Center Groningen. Preoperative and one-year postoperative patients filled in the SQUASH questionnaire to get an impression of their physical activity level, and the WOMAC questionnaire to obtain insight into degree of recovery. Missing data were multiply imputed. No relationship was found between the preoperative total and leisure-time physical activity level neither for preoperative compliance with the Dutch Recommendation for Health-Enhancing Physical Activity , and the degree of recovery one year after surgery.The preoperative physical activity level had no relation with the degree of recovery one year after THA or TKA. The results do not support one of the major assumptions behind prevalidation, which assumes that a higher preoperative physical activity level will lead to a better recovery after THA or TKA. Based on the Dutch GP registries, osteoarthritis (OA) is the most common progressive disorder of the musculoskeletal system It is hypothesized that the amount of preoperative physical activity and thus the fitness level can have a positive effect on the postoperative recovery of patients undergoing THA or TKA. This assumption is based on the fact that physical activity, fitness and health are mutually influencing factors Objective of this study is to analyze one of the major assumptions underlying the potential effectiveness of prevalidation namely that the amount of preoperative physical activity and consequently the fitness level has a positive effect on the postoperative recovery of patients undergoing THA or TKA. Insight into this relationship can strengthen or weaken the arguments for using prevalidation as a tool to improve postoperative recovery. The main question in this research is: Is there a connection between preoperative physical activity level and degree of recovery one year after THA or TKA in patients with OA?This research question is divided into three sub-questions:Is there a connection between the preoperative total physical activity level and the degree of recovery one year after THA or TKA?Is there a connection between the preoperative level of leisure-time physical activity and the degree of recovery one year after THA or TKA?Is there a connection between preoperatively meeting the Dutch Recommendation for Health-Enhancing Physical Activity and the degree of recovery one year after THA or TKA?A retrospective cohort study of prospectively collected data was conducted. Patients were asked to fill in the SQUASH and WOMAC questionnaires preoperatively and one year postoperatively. Completion of the questionnaire was taken as consent to participate. The Ethics Committee of University Medical Center Groningen approved this study (METc 2013/259).All patients that underwent a primary THA or TKA at University Medical Center Groningen between 2006 and 2012 were included. Patients who got a THA or TKA because of primary OA and had no operation within the following year after surgery were included in this study.Level of physical activity and meeting the Dutch Recommendation for Health-Enhancing Physical Activity (NNGB) were measured with the SQUASH questionnaire Degree of recovery was measured with the WOMAC questionnaire. The WOMAC is a self-reported questionnaire that measures OA-caused constraints experienced by the patient in function and degree of pain and stiffness when performing daily activities. The total score is reproduced on a 100-point scale, where a higher score represents a lesser degree of perceived restriction in daily activities. The Dutch version of the WOMAC questionnaire is considered reliable and valid Statistical analyses were performed with SPSS20. Descriptive statistics were used to describe the main characteristics. Univariate linear regression analysis was performed to answer the research questions. A second forward stepwise linear regression analysis was performed, adjusted for several potential confounders: type of surgery (THA or TKA), sex, BMI, ASA class and age of the patient at the time of surgery. A p-value of <0.05 was considered statistically significant.From the 1061 patients who had undergone a primary THA or TKA, 658 were included (see The mean age was 68 years (SD 10.6), with more women than men (32%) and more THA than TKA (36%). The majority had finished a form of lower (22%) or secondary (50%) education see . One yeaThere was no significant connection between the total preoperative physical activity level and the degree of recovery one year after surgery , even after adjustment for confounders see .There was no significant connection between the leisure-time preoperative physical activity level and the degree of recovery one year after surgery either , even after adjustment for confounders see .No significant connection was found between preoperatively meeting the NNGB and the degree of recovery one year after surgery , even after adjustment for confounders see .The basis for this study is the lack of understanding of the connection between preoperative physical activity level and degree of recovery after THA or TKA. Available studies report conflicting results The results of this study are in accordance with recent reviews on the link between prevalidation and degree of recovery after THA or TKA A strength of this study is the relatively large group of 658 patients who had undergone THA or TKA. Because all THA and TKA patients in the registries of UMCG are included, no selection bias occurred. In many studies on the effect of prevalidation a relatively large number of patients drop out during the study. Rooks et al. Overall it can be concluded that in this study preoperative physical activity level is not related to the degree of recovery one year after THA or TKA in patients with primary OA. It must however be taken into consideration that in this study the level of recovery was measured at one single moment, namely one year postoperatively. Patients are generally considered to have completely recovered one year after THA or TKA, yet this offers no insight into the connection between preoperative physical activity level and speed of recovery. Whitney et al. S1 DataMultiple imputed dataset.(SAV)Click here for additional data file."}
+{"text": "The magnitude of the neural activation, and hence the force produced by a muscle, depend on the number of motor units activated (recruitment) and the rates at which motor neurons discharge action potentials (rate coding). Although the recruitment order of motor units (size principle) is similar for contractions during which the force is gradually increased (ramp contraction) and those during which the force is produced as fast as possible . An alternative way is to produce force as fast as possible but to relax the muscle immediately after the target force is reached. Such impulse-like contractions have been termed Desmedt and Godaux were theThe discharge characteristics of single motor units during ballistic contractions can be modulated by the conditions under which the action is performed. For example, it has been observed that when a ballistic contraction with the ankle dorsiflexors was superimposed on a submaximal isometric contraction , the average discharge rate for the first three interspike intervals was significantly reduced by 22% compared with ballistic contractions performed from a resting state than in young adults (~20 year) (Klass et al., To further analyse the effect of a change in discharge rate on the maximal rate of force development, isometric force produced by single motor units was simulated from a model that contains a pool of 200 units (Fuglevand et al., Together, experimental and simulated data indicate that a high initial motor unit discharge rate at the onset of a fast contraction plays a critical role to reach a high rate of force development. Furthermore, and because the instantaneous discharge rates of motor units at the onset of ballistic contractions are much greater than those recorded during slow contractions and not yet influenced by history-dependent effects, ballistic contractions from a resting state can be used to assess the maximal motor neuron discharge rate in human. Nonetheless, as the acquisition of a simple motor task such as index finger abduction requires up to ~300 repetitions to reach maximal acceleration capability (Lee et al., The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "This study aims to explore a unique resource of weight and health data for further studies on effects of body weight and body condition score on developmental degenerative and metabolic diseases in dogs.Our study-data on weight at 12 months of age for more than 100,000 dogs of various breeds from the dog database at the Swedish Kennel Club (SKK) have enabled us to:\u2013 provide a reference for further studies by characterizing distribution of adult body weights in various breeds, also stratified by other factors, e.g. sex.\u2013 explore how weight influences hip and elbow status recorded in the same database.\u2013 investigate how to combine these data with recording of body condition score and to merge them with diagnostic information as insurance claim data.There is a wide range of body weights within all analyzed breeds as well as between the sexes within breeds. There is a pronounced correspondence between body weight at 12 months of age and radiological status of hips and elbows. It is also possible to include body condition score in further analyses and also to merge the data with anonymized information from an insurance claim database.We showed that the available body weight data are well-suited for further studies on the role and effects of both weight and body condition score in various diseases in dogs."}
+{"text": "A binge eating episode is defined as an uncontrolled event of hyperphagia, in which people quickly eat a large amount of food while feeling a sense of loss of control over eating pellet for 2 h plays an essential role in the regulation of eating as it is highly sensitive to peripheral signal molecules of energy status , which project to the nucleus accumbens (NAc) in the ventral striatum and other areas such as the amygdala, medial prefrontal cortex, hippocampus, and hypothalamus Kenny, . The VTAThe homeostatic and hedonic circuits regulating eating are presumably integrated in the lateral hypothalamic area. This area contains orexin neurons highly innervated by hypothalamic and mesolimbic circuits that project widely within the brain (Schwartz and Zeltser, Clinical reports stress the complexity of assessing if an event of hyperphagia is actually a binge eating episode in humans (Wolfe et al., The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "This text describes the process of development of the new Spanish Prehospital Advanced Triage Method (META) and explain its main features and contribution to prehospital triage systems in mass casualty incidents. The triage META is based in the Advanced Trauma Life Support (ATLS) protocols, patient\u2019s anatomical injuries and mechanism of injury. It is a triage method with four stages including early identification of patients with severe trauma that would benefit from a rapid evacuation to a surgical facility and introduces a new patient flow by-passing the advanced medical post to improve evacuation. The stages of triage META are: I) Stabilization triage that classifies patients according to severity to set priorities for initial emergency treatment; II) Identifying patients requiring urgent surgical treatment, this is done at the same time than stage I and creates a new flow of patients with high priority for evacuation; III) Implementation of Advanced Trauma Life Support protocols to patients previously classified according to stablished priority; and IV) Evacuation triage, stablishing evacuation priorities in case of lacks of appropriate transport resources. The triage META is to be applied only by prehospital providers with advanced knowledge and training in advanced trauma life support care and has been designed to be implemented as prehospital procedure in mass casualty incidents (MCI). Mass casualty incidents (MCI) are defined by World Health Organization as events which generate more patients at one time than locally available resources can manage using routine procedures . A recenMost of these triage methods are based in basic life support techniques and have been designed to be applied by rescue teams and firemen . The speModelo Extrahospitalario de Triage Avanzado) as well as its main features and field operating mode in a mass casualty incident. It should be noted that META is a method of advanced triage type to be used only by advanced prehospital providers with adequate training and education in advanced trauma life support protocols and techniques.The aim of this paper is to present the development process and design of the Spanish prehospital advanced triage method during a MCI.During the second phase of the study the degree of perceived usefulness and feasibility of use in the setting of an MCI were analyzed for each of the selected parameters by a sample of health professionals of the Spanish healthcare system. To do this a survey was designed for doctors and nurses working in hospital emergency departments and prehospital emergency care systems in which they were asked to evaluate three dimensions for each parameter: (i) Ability to predict the patient\u2019s vital risk, (ii) Ability to prioritize patient evacuation and (iii) Feasibility of use of the parameter in the prehospital setting in case of MCI. To assess the relevance of each parameter a numerical scale from one (irrelevant) to ten (maximum relevance) was used in each of the three dimensions.Once studied the degree of perceived usefulness and feasibility of use of each parameter during the third phase of the study, a wide panel of experts from different backgrounds finally decided the parameters to be included in the triage method and sequence of application of each parameter during the triage process.anatomical type parameters, 19 were physiological type parameters, nine were parameters related to the kind of injury and nine were related to other conditions or circumstances of the victim or the MCI different of those already mentioned. Forty-five parameters were identified in literature review as potentially usable in an MCI advanced triage method. Eight out of those 45 identified parameters were p <0.05) for potential inclusion in the META. Table\u00a0Seventeen out of the 45 parameters studied were found to be significantly relevant 3).Fig. 3Identification of need of urgent surgical care. The aim of this stage (applied at the same time as first stage) is to identify patients who do not benefit of complex prehospital care and needs rapid transport to a surgical facility. This creates a new flow of patients that will by-pass advanced medical post and will be directed to evacuation area with a minimum acceptable care. For these purpose we used the Guidelines for field triage of injured patients developed in 2011 by the National Expert Panel of Field Triage . These rAdvanced Trauma Life Support. All patients, once classified will be treated following advanced trauma life support protocols . Red patEvacuation triage. Once we have treated out of hospital emergencies on the field, we have to decide, in a scarced resources situation, which patient needs to be evacuated first. The first ones will be those with urgent surgical care need that have not been detected prior to evacuation. Then, we have define a new cathegory as \u201chight priority criteria\u201d for those who have severe injury with haemodynamic or respiratory instability and one of these: systolic blood pressure under 110\u00a0mmHg , motor GMETA triage is to be implemented during the medical prehospital response to an MCI and has four stages: 1) Stabilization triage, 2) Identification of need of urgent surgical care, 3) Advanced trauma life support techniques and 4) Evacuation triage (Fig.\u00a0The selection of the variables identified as potentially be incorporated to an advanced triage method is based primarily on well-known aspects of the clinical approach to prehospital treatment of patients with severe trauma, as well as in physiological, and anatomical aspects and the mechanism of injury. Once evaluated by doctors and nurses, parameters with higher scores are those related to physiological aspects. We decided to design a method based in the ATLS protocol but with an anatomical component that creates a new high priority category for those patients that benefit from rapid transport to a surgical facility.This new model of triage would be useful specially for EMS staffed by doctors or nurses, but also for EMS based in paramedics with an advanced education, knowledge and skills in the management of patients with acute severe trauma. Most of the well known triage methods do not fulfil the principles of the advanced trauma life support. In the above triage methods , for exaIn a MCI with overwhelmed healthcare resources the flow of patients at different stages of the medical response is often slow. This means that patient transportation may be delayed and for some patients this could be life threatening . This isOnce a patient is treated or stabilized should go to the evacuation point. In this point we go to stage four for evacuation triage. This last triage allows us to use available transport resources in the best possible way. In case of lack of transport resources patients classified as red have the highest priority for evacuation. These \u201chigh priority criteria\u201d allows us to distinguish different priorities among patients classified as red and are based in a combination of clinical elements and injury mechanisms in order to improve evacuation of severe patients. This new method of advanced triage is highly adaptable to future scientific findings related to prehospital care and organization of MCI.One of the strengths of triage META is that has been developed taking into account the perception of emergency services staff on the factors to be considered in a method of triage and this is an important aspect that influences the success in implementation in daily work. Also the varied background of the expert panel has made possible a broad discussion on the different aspects and perceptions of the management of trauma care in the prehospital heathcare of MCI. Triage research has many limitations and is very difficult to fulfil the best evidence recommendations . Our metTriage META is a model of advanced prehospital triage and is a tool to be used by doctors and nurses trained as providers of advanced trauma life support, but also by paramedics with advanced education, knowledge and skills in management of patients with severe acute trauma. It can be implemented into MCI procedures and one of the main contributions is the early detection of severe surgical patients that benefit from rapid transport to a surgical facility. This mean that two flows of patients are needed in order to avoid delays of transport in these patients.Anatomical ParamethersAmputation proximal to the wrist or ankleTear or crushing of limbsOpen or depressed skull fracturePelvic fractureProximal fractures of two or more long bonesPenetrating woundContused woundFlail chestPhysiological paramethersHeart RateRespiratory ratePrehospital intubationLevel of consciousnessParalysisCarotid PulseRadial pulseVentilationAirway obstructionOxygen saturationSystolic blood pressureStaringPediatric Evaluation TriangleSpotted, pallor or cyanosis of the skinRespiratory distressStridor, grunting or breathing soundSpeech disorder or cryingFlaring nostrilsInteractivityMechanism of injuryKnive njuryFirearmOutrageFallRescue time more than 20 minutesEjected from vehiclePresence of a died person in the same vehicleVehicle IntrusionMotorbike accidentOthersMedical CriteriaOvertriage if case of doubt regarding severity of the patientAge under 15 or over 55Pregnant more tan 20 weeksSevere kidney diseaseLimb injury time dependantBurnsSexHaemostatiuc disorder or anticoagulants treatment"}
+{"text": "Metabolic flux comprises the ultimate phenotypic readout of cell physiology, and it shifts toward anabolic or catabolic regimes in conjunction with the proliferative state of the cell. Many parallels exist between the metabolic profiles of normal dividing cells and cancer cells, for which uncontrolled proliferation is a hallmark. Much effort in the field of cancer metabolism has been directed toward identifying these similarities to target how tumors use biochemical resources for growth and survival.Many studies have approached this question by experimentally identifying major metabolic changes that become induced in response to expression of oncogenes or inactivation of tumor suppressor genes; however, in these circumstances, the generality of these changes beyond the system under consideration may be unknown. Other avenues have employed genome-scale models of tumor metabolism to determine enzymes through which flux is upregulated when biomass production is maximized, but the size of these networks limits routine analysis.All major components of macromolecules may be derived from a small set of central metabolites that originate from well-known metabolic pathways, and as a result, it is possible to determine the rates at which these precursors must be consumed to maintain a particular growth rate. We have therefore employed a method to reduce experimentally measured biomass components to this set of precursor metabolites to better understand the effects of growth on metabolism in mammalian cells. Our strategy enables generalization of biosynthetic demands in a manner that is not specific for any particular oncogenic genotype while using a limited biochemical currency that enables elementary calculations and predictions."}
+{"text": "Cold water immersion is a severe challenge for humans. Mathematical modelling of human thermoregulatory responses is an alternative approach to study cooling in water. Preliminary modelling prediction can be a useful tool for preventive steps that will help to decrease or even to avoid health hazard . The purThe complexity of multi-compartmental models for human thermoregulation is realised as Information Technology (IT) in Borland C++ Builder 2010 [Modelling Figure showed tModelling showed that evaluation of the safe time of human immersion in cold water depends on what part of body is immersed. Head out of water has principal effect on core cooling rate . ModelliModelling prediction showed that thermoregulatory system is high sensitive to the immersion level of human in cold water. Surface out of water increases safe time of immersion. But head submersion has priority effect on core cooling. The results, when validated in all ranges, can be used for planning of rescue operations and development of protective clothing."}
+{"text": "Systems Biology & Systems Medicine represent those emerging sciences. The development of the \u201cVirtual Patient Avatar\u201d will change conventional medicine into \"predictive medicine\" that will have the capacity to develop solutions based upon understanding of the dynamic mechanisms and the quantitative logic of human physiology. Drug discovery and clinical trials in silico will improve the development of products with higher efficiency and safety while reducing cost. Thus strategy must occur in the European Union to bridge the gap between academic and industry in the following ways:The integration of molecular sciences and computational sciences is moving the world towards a new generation of life science where physiological information from the human can be quantitatively described \u2022 Validate and publish medical informatics data and technology models to accepted standards in order to facilitate adoption,\u2022 Transform electronic health records to make them more accessible and interoperable,\u2022 Encourage information sharing, engage regulatory agencies, and\u2022 Encourage increasing financial support to grow and develop translational biomedical informatics."}
+{"text": "It is believed that in many cases Food allergy (FA) develops due to the contact of the immune system with different allergens through affected skin and mucous barriers. Studies of the filaggrin mutations in atopic dermatitis showed informativity of the transepidermal water lost measurement (TEWL) in assessment of the skin barrier condition. Faecal calprotectin is marker of the inflammation that can be helpful in understand of the GIT mucous condition.To investigate a possible relationship between the TEWL and stool calprotectin level as markers of the barrier's deficiency with severity of the FA and treatment response.80 patients with skin symptoms of food allergy of different severity were under study. TEWL level, faecal calprotectin level were measured to identify the presence of the skin and mucous barrier's deficiency in children and it's change under treatment.High TEWL was associated with a more severe disease course and a poor response to treatment with antihistamines than in patients with less TEWL . Faecal calprotectin was elevated in 35/80 patients (43.7%) and was found to be significantly higher in patients with more severe FA symptoms (P<.05). Not all patients with positive stool marker (45.7% 16/35) noticed unsteady stool in anamnesis. In addition, the most effective influence on the severity of the TEWL had topical treatment with emollients, than oral intake of the antihistamines .TEWL and faecal calprotectin level measurement are simple and informative tests for FA course assess. Patients with FA and deficiency in skin and mucous barrier experience a more severe course of the disease and show a poor response to treatment with antihistamines. In this case it was proposed to use TEWL and faecal calprotectin level measurement as additional tests to reveal and predict possible ways of the further Atopic March in children. Topical treatment with emollients is more effective than oral intake of the antihistamines."}
+{"text": "In literature, the most effective timing for intercepting skeletal malocclusion is still widely debated. The aim of this study was to analyze the main orthodontic and occlusal problems needing correction in growing patients.Crossbite, open bite and Class III malocclusion were observed and compared each one with their own control groups with the same age and dentoskeletal characteristics. The statistical comparisons between the test and control groups were performed with independent sample t tests and chi-square tests (P <.05).The presence of posterior crossbite was significantly greater in growing subjects with oral breathing thus confirming the influence of these factors on skeletal development with constriction of the whole palate. Unilateral posterior crossbite is often associated with mandibular lateral displacement that is clinically characterized by deviation of the chin, facial asymmetry, dental midline discrepancy, and high prevalence of internal derangement of the temporomandibular joint. Children with anterior openbite presented with a greater prevalence rate of sucking habits. Hyperdivergency is a risk factors for negative overbite in mixed dentition subjects. The test group had significantly smaller maxillary intermolar and intercanine widths and greater posterior transverse discrepancy. Class III malocclusion is a complex clinical entity that entail the contraction of the maxilla and a narrowing of the base of the nose in addition to an increased mandibular total length.Treatment of orthodontic problems that do not improve with age may be started earlier to avoid worsening of the condition in permanent dentition. The objective of any treatment in pediatric subjects before eruption of all permanent teeth are to correct the skeletal discrepancy between the jaws and improve function and facial esthetics by allowing them to develop normally, to create an ideal overbite and overjet relationship, to align the anterior permanent teeth and reduce the chance of trauma to these teeth, to improve the width of the dental arches and to reduce the risk for extraction of permanent teeth and for surgery in severe cases.Morphologic and functional characteristics of unilateral posterior crossbite with mandibular lateral deviation should be clarified to correct and prevent this malocclusion. Children with mouth-breathing pattern and sucking habits showed a significant constriction of the maxillary arch and an increased palatal height when compared with control group. Early treatment of Class III malocclusion is able to produce significant and favorable long-term skeletal shape changes characterized by an anterior morphogenetic rotation of the mandible."}
+{"text": "Pilot and feasibility studies underpin much of current health related research, including randomised controlled trials. The number of reports in which authors describe their studies as pilot or feasibility studies is increasing and there is currently a lot of interest in this area. However, in spite of a number of papers that have recommended ways in which the reporting of these studies could be improved, reporting remains poor.Using CONSORT endorsed methodology including a large Delphi study (n=93) and an international consensus meeting (n=26) we have developed a CONSORT extension for randomised pilot and feasibility studies. Much of the existing CONSORT statement for randomised controlled trials does apply to these types of study. However, sometimes the application of the items is different from that in RCTs designed to evaluate the effect of an intervention or therapy and some CONSORT items are not applicable or have needed some alteration.We are currently writing the explanation and elaboration statement for this CONSORT extension. We will present the major issues in reporting these types of randomised studies and use examples to illustrate good and bad practice. This work is part of a larger programme of work on pilot and feasibility studies."}
+{"text": "Life course socioeconomic inequalities in heart disease, stroke and all-cause mortality are well studied in Sweden. However, few studies have sought to explain the mechanism for such associations mainly due to lack of longitudinal data with multiple measures of socioeconomic status (SES) across the life course. Given the population health concern about how socioeconomic inequality is related to poorer health, we aim to tackle obesity as one of the prime suspects that could explain the association between SES inequality and cardiovascular disease and consequently premature death. The aim of this study is to test which life course model best describes the association between socioeconomic disadvantage and obesity among 60 year old inhabitants of V\u00e4sterbotten County in Northern Sweden.t-test was used to compare BMI between advantaged and disadvantaged groups and one-way ANOVA was used to compare BMI among eight SES trajectories. We applied a structured modeling approach to examine three different hypothesized life course SES models in relation to BMI.A birth cohort consisting of 3340 individuals born between 1930 and 1932 was studied. Body mass index (BMI) at the age of 60 and information on socioeconomic status at three stages of life was collected. Independent samples We found sex differences in the way that late adulthood socioeconomic disadvantage is associated with BMI among inhabitants of Northern Sweden. Our study suggests that social adversity in all stages of late adulthood is a particularly important indicator for addressing the social gradients in BMI among women in Northern Sweden and that unhealthy behaviors in terms of smoking and physical inactivity are insufficient to explain the relationships between social and lifestyle inequalities and BMI.In order for local authorities to develop informed preventive efforts, we suggest further research to identify modifiable risk factors across the life course which could explain this health inequality. It is well-established that obesity is a major risk factor for mortality and morbidity and is on the rise globally . This toWhile the evidence for the contribution of life course SES to the development of weight change or obesity is generally strong , it remaThere has been a burgeoning literature in recent decades on the association between socioeconomic factors and total mortality and CVD risk factors in life course analysis using multiple measurements ,8. This Socioeconomic differences in mortality are well documented in most European countries including Sweden . People accumulation of risk model, the critical period model and the social mobility model. The most prominent model in the current literature is the accumulation of risk model, which assumes that cumulative adverse exposures during the life course increases the risk of CVD risk factors irrespective of the timing , as well as downward (D) adult SES mobility .The social mobility models (\u2018Late life mobility\u2019 and \u2018Any mobility\u2019) showed particularly poor fits as they were significantly different from the saturated model . The general social mobility model assumes that all downward changes are equally harmful to health and that all upward changes are equally beneficial . This meWe note that smoking and physical activity are only two lifestyle aspects that are included in the analysis. Unfortunately, data on energy intake and food habits was unavailable. Even though we used a validated instrument to measure physical activity, it would be more accurate if it were not self-reported. Unhealthy behaviors including lack of physical activity and smokOur study suggests that social adversity at all stages of late adulthood is a particularly important indicator for addressing the social gradients in body mass index among women in Northern Sweden and that unhealthy behaviors in terms of smoking and physical inactivity are insufficient to explain such association. In order for local authorities to develop informed preventive efforts, we suggest further research to identify modifiable risk factors across the late adulthood which could explain this health inequality. Our results suggest that efforts should be concentrated on reducing the social inequality that is associated with obesity in women in mid-adulthood and that such efforts should not be limited to targeting unhealthy behaviors.The authors declare that they have no competing interests.MN and MP participated in the design of the study. MP performed the statistical analysis and drafted the manuscript. Both authors read and approved the final manuscript."}
+{"text": "This pictorial series illustrates four cases with interesting imaging presentations of some unusual primary and secondary breast malignancies and aims to exemplify the range of appearances of malignancy and stimulate discussion of atypical differential diagnoses in appropriate cases.We present a pictorial series of four patients with unusual breast pathology who initially presented to the triple assessment breast clinic in a tertiary university institution. For each case the imaging features and final diagnoses are critically appraised, along with a review of the literature. We illustrate a case reminiscent of bilateral invasive ductal carcinoma which, after further histological immune profiling, is confirmed to be the first presentation of a metastatic lung cancer. A sarcomatoid carcinoma presents as a densely calcified well-defined lesion on mammography accompanying a synchronous invasive ductal carcinoma and could initially have been seen as benign. We present the imaging features of a fibroadenoma which interestingly was shown to contain DCIS. We also highlight the appearances of a recurrent pleomorphic invasive lobular carcinoma within latissimusdorsi muscle following mastectomy and reconstruction.Interesting and unusual differentials for malignant breast lesions are presented pictorially with an emphasis on the initial presentation and imaging findings. It is hoped that this will both educate and stimulate discussion of differential diagnoses in the breast imaging setting."}
+{"text": "Dental professionals have not fully embraced opportunities for tobacco intervention. The aim of my presentation is to suggest new strategy of curriculum to enhance smoking cessation intervention based on the novel findings that may useful under the universal health insurance system in Japan.Reviewed literatures regarding tobacco interventions by dental professionals and recent studies regarding oral microbiology, and surveyed dentists and dental patients to clarify the possibility of our strategy.The literature review regarding progression of the global dental tobacco interventions identified significant barriers such as lack of reimbursement and training for implementation to dental practice and dissemination and undergraduate education. Recent findings regarding the effects of smoking cessation on oral biofilms and those of tobacco extracts on virulence factor of periodontal pathogens would break the ice to enforce dental tobacco intervention in Japan. The studies that was conducted in dental clinics revealed that tobacco intervention for prevention of progression of dental disease and improvement of the effects of dental treatments that have potential coverage of the universal health insurance system in Japan were strongly supported by dentists while intervention services for prevention of oral diseases was strongly supported by dental patients.Education for dental students regarding tobacco intervention based on the effects on dental treatments would be promising strategy that reinforces those for oral and overall health in Japan."}
+{"text": "While dissemination and implementation (DI) science has become a clear area of research focus with associated methodologies, grant programs, journals, and training programs, these are relatively recent developments which have created a gap in training and career development. Many large institutions with major research programs have some investigators who are carrying out DI research but these tend to be limited and many investigators whose work has relevance to the field are not trained adequately to take advantage of existing grant mechanisms. The University of Pennsylvania has taken the strategy of creating the Implementation Science Working Group (ISWG) with the goal of providing an opportunity for idea development, feedback, grant review, and review of key methodologic approaches and conceptual frameworks for the field. A key element of the ISWG has been to support pilot studies by faculty from across the university which focus on DI topics and which have potential for translation into NIH grant applications. In this presentation, we discuss current efforts of the Penn ISWG as an exemplar for other institutions, and present examples of pilot grant receipts who have received funding to conduct DI related work within the context of the university efforts to support DI capacity."}
+{"text": "The significance of arterial lesions in IgAN patients has not been investigated well and characteristics of renal vessels in this disease not been studied separately. More investigations is necessary to found the clinical significance of thrombotic microangiopathy in IgAN.et al. in a study on a group of IgAN patients found 53% patients had morphologic lesions of TMA have been completely observed by the authors.None."}
+{"text": "Chronic inflammation in well-defined mouse models such as Gi\u03b12 knock out mouse has been shown to trigger formation and expansion of hypoxic niches and also leads to up regulation of NF\u0138B, offering cells which have adapted their genetic machinery to hypoxia a unique survival advantage. These adapted cells have been shown to acquire stem cell-like capabilities as shown by up regulation of stem cell markers. Such long lived cells become permanent residents in sub mucosa and acquire a malignant phenotype from long-term exposure to noxious environmental agents due to a barrier defect secondary to down regulation of barrier proteins such as Zo1 and Occludin. Indeed mitotic spindle disorientation in such mice has been proposed as another contributory factor to malignant transformation. Sterilization of bowel lumen of these mice through different techniques has prevented malignant transformation in the presence of chronic inflammation. These facts stand strongly against chronic inflammation as a true driver of carcinogenesis but clearly support its role in facilitating the emergence of the neoplastic clone. The malignant transformation as per the free energy concept necessitates a significant and permanent decrease in the free energy of the malignant cell as a result of breakdown of the fine balance of cellular energetics. WarburgThere are many examples in which chronic inflammation is associated with carcinogenesis. However in none of them there is solid proof of a driver role for chronic inflammation,7. In caViruses can directly induce malignancy by down-regulating tumor suppressor genes such as TP53 and Rb. Through this mechanism papilloma virus promotes the pathogenesis of malignancies such as squamous cell carcinoma of cervix and head and neck. The lisV617FJAK2 mutation in a hematopoietic stem cell is seen in the majority of patients with MPN. V617FJAK2 confers upon hematopoietic progenitors resistance to the suppressive actions of TNF. An environment with high levels of inflammatory cytokines (such as TNF) selects for cells which have mutated in such a way to avoid these suppressive cues (such as the V617FJAK2 neoplastic clone). The V617FJAK2 mutant clone then expands and leads to unrestrained expansion of mature myeloid cells. The V617FJAK2 neoplastic clone in MPN likely also induces an inflammatory state which further enhances its selective advantage. This inflammatory response elicited by the V617FJAK2 clone may also be required for clinical manifestations of the disease. Clones with leukemia-associated mutations (such as V617FJAK2) can be detected in a few percent of normal aged individuals[There is also evidence that chronic inflammation facilitates clonal evolution in myeloproliferative neoplasm (MPN), a chronic hematologic malignancy. Chronic inflammation is a characteristic feature of MPN and has been implicated as the cause of many of the debilitating symptoms associated with this disease. Emerging evidence suggests that inflammation may play a more central role in disease initiation and maintenance of the neoplastic clone16. Somatic acquisition of a There is evidence supporting inflammation as a tumor growth promoting but not initiating factor. One example is infiltration of glioma associated macrophage/microglia (MG). In CNS inflammation, MG have been shown to be capable of presenting antigens and activating T cells, thus playing a direct role in modulating brain inflammation. A signiOne could arbitrarily categorize malignant disorders into two major groups. The first group would be those malignancies that are driven down an inflammatory path, such as the examples mentioned above. The second group would be those malignant disorders that are driven down the non-inflammatory path, such as certain well defined syndromes including Li-Fraumini and Lynch syndrome, classical lung, breast and colon cancer among many others.Free energy was first described by the American engineer Willard Gibbs in 1873 as the amount of energy available to do non-volume increasing work in a system with constant temperature and pressure and that inversely correlates with the amount of entropy of that system on thermodynamics arrow of time.Biological systems including a living cell are well known for their unique capability to keep entropy at the lowest possible level dictated by the limits of the second law of thermodynamics. The breakdown of this fine balance which is the distinguishing hallmark of malignant disorders could be envisioned as the universal driving force capable of driving down both inflammatory and non-inflammatory roads of malignant transformation. The fine balance of the cellular energetics under normal condition is governing a broad spectrum of fundamental biological events extending from epigenome to Micro RNA network and incorporating dynamics of mitosis and homeostasis of cell cycle kinetics to DNA damage response and gene regulatory mechanisms,27. EvenInterestingly enough even the contemporary literature has started to appreciate the interplay of metabolomics and inflammation. LiteratAccording to the universal free energy concept normal inflammatory cells with normal metabolism and energetics get attracted to the tumor sites comprised of a significant number of cells with significantly lower free energy/lower in situ vibratory motion. This atAlthough chronic inflammation has been noticed and reported for a long time by many different observers both in the vicinity of malignant cells and at the premalignant lesions of a wide range of malignant disorders both of hematological and solid subtypes, assigning a driver role to chronic inflammation has faced insurmountable technical as well as evidence based barriers.CCL2 expression on the surface of glioma cells which attracts macrophages to the tumor site, with its ensuing activation of other components of immune system through secretion of humoral factors on one end and eradication of inflammation without any observable effect on tumor growth and progression on the other end, are among the examples that take away the designation of driver role from chronic inflammation in inflammation associated malignancies.Available evidence supports a promoting role for chronic inflammation following malignant transformation. Interestingly enough at times the malignant cell itself is the source of chemokines which attract the inflammatory cell to tumor site as mentioned above. Finally In other tumor types the malignant cells take advantage of the nurturing microenvironment of the immune system organ, namely lymph nodes before progressing into advanced stages. Melanoma and breast carcinoma are among such malignancies.The modern generation of immunotherapy, including CTLA4 and PD-1 antagonists, has enabled us to make clinical achievements and prolong the life of patients with metastatic melanoma.However the toxicities associated with these treatment modalities which originate in reacting against the self-antigens at times have proven prohibitive. The key question is if the immune system can recognize the difference between the energetics of the tumor cell and normal cell, why is it so incapable of destroying tumor cells and in addition why does it contribute to promotion and progression of malignant phenotype?The answer to this question might reside in the exceptional capability of the tumor cell to also change the energetics of the infiltrating immune cells in favor of a low free energy state which would disable these cells as a result of modification of the quaternary structure of its constituent functional proteins under low free energy condition, in addition to taking advantage of their growth promoting humoral factors. A new wave of improved understanding and design of delicate measurement devices of cellular energetics and the ability to reverse those differences offers hope for future cancer therapeutics modalities. Indeed even today we are witnessing a crude, however rewarding attempt at physical rather than chemical cancer therapy by alternating electrical fields in the treatment of recurrent Glioblastoma multiforme, called NovoTTF-100A system which has been misunderstood as only a change in electrical field of cancer cell without appreciating the induced transient increase in free energy of the cancer cell,33."}
+{"text": "Dear Editor,Chronic patellar tendinopathy is a common clinical condition that is managed by physical therapists and is common among athletes and non-athletes alike. Patellar tendinopathy is characterized by the absence of inflammatory cells and prostaglandins and an increased presence of fibroblasts and disorganized collagen . Therefo"}
+{"text": "The study proves that simple image and depth sensors can be used to efficiently record biomedical multidimensional data with sufficient accuracy to detect selected biomedical features using specific methods of computational intelligence. The achieved accuracy for non-contact detection of breathing rate was 0.26% and the accuracy of heart rate estimation was 1.47% for the infrared sensor. The following results show how video frames with depth data can be used to differentiate different kinds of breathing. The proposed method enables us to obtain and analyse data for diagnostic purposes in the home environment or during physical activities, enabling efficient human\u2013machine interaction.This paper is devoted to a new method of using Microsoft (MS) Kinect sensors for non-contact monitoring of breathing and heart rate estimation to detect possible medical and neurological disorders. Video sequences of facial features and thorax movements are recorded by MS Kinect image, depth and infrared sensors to enable their time analysis in selected regions of interest. The proposed methodology includes the use of computational methods and functional transforms for data selection, as well as their denoising, spectral analysis and visualization, in order to determine specific biomedical features. The results that were obtained verify the correspondence between the evaluation of the breathing frequency that was obtained from the image and infrared data of the mouth area and from the thorax movement that was recorded by the depth sensor. Spectral analysis of the time evolution of the mouth area video frames was also used for heart rate estimation. Results estimated from the image and infrared data of the mouth area were compared with those obtained by contact measurements by Garmin sensors ( Recently developed computational technologies enable the use of non-contact and non-invasive systems for monitoring breathing features, detecting heart rate changes and analysing facial features as important diagnostic tools for studying neurological and sleep disorders, assessing stress and evaluating fitness level ,5,6,7,8.Complex monitoring of selected biomedical features can be based on processing of data recordedThe present paper is devoted to (i) the description of methodology for breathing and heart rate monitoring based on image, depth and infrared video sequences acquired by MS Kinect in the face and chest area; (ii) the visualization of the obtained data; and (iii) the comparison of biomedical features evaluated from data recorded by non-contact image and depth sensors.The proposed methodology assumes the use of digital filtering methods for data noise component rejection, resampling, data fusion and spectral analysis for detecting the required biomedical features. Specific statistical methods ,31 are aThe paper provides motivation for further studies of methods related to big data processing problems, dimensionality reduction, principal component analysis and parallel signal processing to increase the speed, accuracy and reliability of the results. Methods related to motion recognition can be further used in multichannel biomedical data processing for the detection of neurological disorders, for facial and movement analysis during rehabilitation and for motion monitoring in assisted living homes ,33,34. FThe sequence of separate images was recorded with associated time stamps indicating the video frame rate changing from 7 to 15 fps. Image resolution was 1920 by 1080 pixels while the depth and infrared camera resolution was 512 by 424 pixels. The video camera allowed following colour image components with selected results recorded at the mouth area of the individual as presented in Simple tests were limited by the data size that was obtained. By scaling the image data by a factor of 0.4, the 120 s record of data from the image, depth and infrared sensors occupy 1.2 GB of hard disk space. The overnight record of sleep activities requires about 250 GB of disk space and is dependent on the frame rate and resolution; specific methods of big data processing should be applied to reduce the evaluation time.Time stamps recorded with each video frame allowed resampling of the video sequence ,41 to a uisition .R rows and S columns that covered either the mouth or the chest area of the individual. For each matrix n, the mean values were evaluated by the following equation:The sequences of image and depth maps that were acquired by the MS Kinect were analysed over the selected rectangular area of N. To optimize the final algorithm, the resampling mentioned above was applied to this sequence only and not to the complete image frame in this case.In this way, the mean value of pixels in the selected area for each video and depth frame formed a separate time series M (=40) was then applied to each obtained signal to evaluate the new sequence Finite impulse response (FIR) filtering filtering of the selected order Spectral components in each recorded frame were then evaluated by a discrete Fourier transform forming the sequenceP using the least squares method to minimize summed squared differencesK values of spectral components The local polynomial approximation of evaluated spectral components was then applied in two specified frequency ranges corresponding to possible frequencies of breathing in this record as presented in A general methodology for the estimation of respiratory rate and heart rate is presented in Analysis of the heart rate estimate based upon a 180 s infrared video sequence is presented in Different spectral components estimated in separate subregions over the whole period of 180 s are presented in The average range of chest movement in selected grid points and over the selected time of 120 s is presented in Final parts of each record in MS Kinect provides a cheap alternative to video monitoring of sleep abnomalities performed in sleep laboratories by polysomnography as the gold standard diagnostic tool. Polysomnography (PSG) records different biosignals, but it is an invasive method that may disturb natural sleep. In comparison with other efficient methods, including infrared video monitoring , it is pThis paper presents the use of MS Kinect image, depth and infrared sensors for non-contact monitoring of selected biomedical signals, evaluation of breathing and heart rate using recorded video frames, and verification of the obtained results. It is assumed that estimated features obtained from data retrieved from a natural environment will increase the reliability of such observations related to the diagnosis of possible neurological disorders and the fitness level of the individual. The purpose of this approach is to replace wired sensors by distance monitoring, allowing more convenient data acquisition and analysis.Obtained data were used for the analysis of biomedical signals recorded after specified body activity. The results show no significant difference between biomedical features obtained by different biosensors and non-contact MS Kinect technology. While breathing rate can be recorded with high reliability, non-contact heart rate detection depends upon the visibility of an individual\u2019s blood vessels in the case of video sensor use.Results show how the MS Kinect sensors and selected digital signal processing methods can be used to detect the heart rate and to analyse breathing patterns during different kinds of breathing. Processing of video frames acquired during interrupted breathing points to the possible use of these sensors for sleep apnea analysis as well.The methods described here form an alternative approach to biomedical data acquisition and analysis. Developing the abilities of different biosensors with possibilities of wireless data transmission increase the importance of remote data acquisition and signal analysis using computational intelligence and information engineering in the future. This approach has a wide range of applications not only in biomedicine but also in engineering and robotics. Specific applications based on analysis of depth matrices allow gait analysis and early diagnosis of locomotor system problems.Further research will be devoted to algorithms for more precise data acquisition and processing to detect biomedical feature changes for correct diagnosis and for proposing further appropriate treatment. It is assumed that infrared sensors will be used for non-contact analysis during sleep to detect sleep disorders."}
+{"text": "The increasing volume of existing information on biological processes and the use of large databases have significantly increased the accessibility of datasets to the scientific community. This has enabled performing an analysis to facilitate the extraction of relevant information or modeling and optimizing tasks in different processes. Parallel to the increasing volumes of information is the emergence of new or adapted distributed computing models such as grid computing and cloud computing. Together with new techniques of artificial intelligence, or more specifically knowledge discovery, these management systems are making it possible to perform a more efficient analysis of the information and are enabling the creation of adaptive systems with learning ability.In the area of distributed artificial intelligence models for knowledge discovery in bioinformatics, ten interesting proposals are presented. These models analyze different biological aspects and simulate the process or user behavior in the health care system. The main characteristics in these proposals are the use of artificial intelligence techniques to analyze the information and extract knowledge.\u201cBladder Carcinoma Data with Clinical Risk Factors and Molecular Markers: A Cluster Analysis\u201d provides interesting research about bladder cancer. The paper shows the hypothesis that the use of clinical and histopathological data with information about marker is useful to manage treatments of nonmuscle invasive bladder cancers (NMIBC). The authors apply data mining techniques such as hierarchical clustering to create molecular cluster and risk groups. In their experiments, the authors analyze 45 patients with a new diagnosis of NMIBC. They create four groups of patients and categorize the patients according to clinical characters and biological behavior.The authors of \u201cA Linear-RBF Multikernel SVM to Classify Big Text Corpora\u201d use data mining techniques based on classifiers to big text corpora. In particular, they implement a variant of support vector machine (SVM) to reduce the computational cost. The authors show a multikernel SVM with automatic parameterization to improve the results of SVM parameterized under a brute force search. The proposal is composed of a workflow with algorithms to process documents, reduce the dimensionality of the data, and to apply/provide clustering, training, and prediction. The proposal is analyzed according to the classification results and building time in the dataset TREC Genomics 2005 corpus. Pleurotus ostreatus to improve quality and production. In order to carry out the analysis of the factors, the authors include several IoT sensors to retrieve the information from the sensors. The information is then processed with data mining techniques in cloud system in order to predict plant growth and manage plant growth control.In \u201cAnalysis of Environmental Stress Factors Using an Artificial Growth System and Plant Fitness Optimization,\u201d the authors analyze how some environment conditions can accelerate the evolution process; in addition to modifying the environment conditions, it is possible to select genomic variants. The authors analyze several factors for\u201cRecRWR: A Recursive Random Walk Method for Improved Identification of Diseases\u201d proposes a new method to select the best disease targets for multiconcepts graphs. The proposal, referred to as recursive random walk with restarts (RecRWR), includes multilayer networks, graphs, and weights calculation and has been tested with the OMIM database with the area under ROC curves.\u201cGene Knockout Identification Using an Extension of Bees Hill Flux Balance Analysis\u201d is an interesting paper that presents an extension of Bees Hill Flux Balance Analysis (BHFBA) integrated within the framework of the OptKnock and Hill Climbing algorithm in a local search to extract gene knockout in order to maximize the production of the desired metabolite. The proposal has been analyzed with different databases and compares the execution time, growth rate, and production yield. The authors validate that the BHFBA improves the performance due to the inclusion of the Hill Climbing algorithm.In \u201cUsing the eServices Platform for Detecting Behavior Patterns Deviation in the Elderly Assisted Living: A Case Study,\u201d the authors present the eServices platform (Elderly Support Service Platform). The platform detects any deviation in the behavioral pattern followed by elderly people and is able to predict dangerous situations. The system was modeled with the CRISP-DM methodology and was tested with synthetic data based on real data and expert knowledge. The authors incorporate several data mining techniques such as decision trees, cluster, or ROC curves in order to validate the results.\u201cAgent-Based Spatiotemporal Simulation of Biomolecular Systems within the Open Source MASON Framework\u201d presents a tool for biomolecular reaction modelling in the multiagent simulator of neighborhoods framework (MASON). The tool describes the interaction among the molecules. The system is worth considering to analyze the effect of different factors in simulations. The system is tested in several scenarios based on enzymatic activity. The results area is compared with studies performed in laboratories.\u201cA Distributed Multiagent System Architecture for Body Area Networks Applied to Healthcare Monitoring\u201d presents an architecture based on a multiagent system to monitor the parameters of several users with biomedical sensors. The agents incorporate the BDI model and data mining techniques to analyze the data of the sensors. The system is able to detect movements, activities, and postures. Its accuracy is confirmed and presented in the results taken from the tests performed in several cases.\u201cModelling the Longevity of Dental Restorations by means of a CBR System\u201d presents a case based reasoning (CBR) system to analyze dental restorations with different materials. The system applies the steps of the CBR cycle in which it integrates several data mining algorithms to perform in the retrieved phase. It also includes a mixture of experts with neural networks and Bayesian networks in the reuse phase to predict the longevity of dental restorations. The system is tested with the data of patients and the results are shown in the paper.Finally, \u201caCGH-MAS: Analysis of aCGH by means of Multiagent System\u201d proposes a multiagent system to analyze data of CGH (comparative genomic hybridization) arrays. The agents incorporate several layers to perform visualization and analysis and to manage information processes. The system proposes different visualizations to facilitate the visual analysis and to access the information in databases. Moreover, the multiagent system provides several data mining techniques to carry out the analysis. The system is tested with several kinds of CGH arrays and the results are shown in the paper."}
+{"text": "Despite a large and rapidly expanding literature on psychological trauma, many fundamental questions remain about its basic nature: Is it a psychological problem or a biological one?; Is it a past event somehow stuck in the present or is it something new which has been triggered and shaped by that event?; Does it reside only within the patient or does it live between the patient and other people (including within the therapeutic relationship)? This presentation will review the history of the concept of psychological trauma and explore the theoretical bases for current evidence-based psychotherapies for PTSD, each of which will be shown to describe psychological trauma as a problem in bringing the past and the present together in memory and cognition. These theories primarily differ on the question of whether a traumatic memory becomes pathogenic, because it cannot be biologically processed or because it must be psychologically avoided. Psychoanalytic concepts of transference and countertransference will be shown to be of practical importance regardless of the type of treatment chosen. If researchers and clinicians can build on what they hold in common rather than become divided by their differences, we can improve our ability to understand and alleviate the effects of psychological trauma."}
+{"text": "Scientific research into mental health outcomes following trauma is undergoing a revolution as scientists refocus their efforts to identify underlying dimensions of health and psychopathology. This effort is in stark contrast to the previous focus which was to characterize individuals based on Diagnostic and Statistical Manual of Mental Disorders (DSM) diagnostic status and allied methods such as Latent Class Growth Analysis (LCGA) for the identification of heterogeneous populations defined by their pattern of change over time will be presented ."}
+{"text": "Fukushima et al. recently published research on the relationship between cost sharing policies and medical spending by the elderly (Fukushima et al., One of the baseline results of the study claims: \u201clower cost sharing significantly increases medical spending.\u201d This actually follows the natural logic that a patient is likely to consume more care if it is effectively free at the point of usage. Three decades ago policy makers believed it should be possible for a cost sharing mechanism to contain costs and induce net savings (Keeler and Rolph, The article conveys an important message with regards to the role of cost sharing in prescribing and dispensing medicines (Johnson et al., There is a variety of measures used to increase the prescribing of generics vs. originators in Europe. These include compulsory substitution, e.g., in Sweden (Andersson et al., The phenomenon of a shrinking labor force and threatened financial sustainability of health care provision was recognized in the Japanese market a few decades ago Ogura, . The devMJ has solely designed and authored this Commentary article without any external engagements by other contributor or professional services.The author declares that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Polythelia has been defined as the presence of supernumerary nipples without accessory glandular tissue. Usually, these growths follow imaginary mammary lines running from the armpits to the groin.Although the presence of dental anomalies may occasion only a simple cosmetic problem with specific clinical considerations, the association with familial polythelia has been scarcely reported. This paper reports on a case of polythelia that is associated with dental anomalies in an Argentine family and discusses suggestions for a thorough dental history and medical consultation to prevent possible pathological conditions or potential malignant transformation of mammary tissues. The in,,,Polythelia represents a typical example of atavism and the word means \"many nipples\",The genetic transmission of polythelia appears to be heterogeneous and the most common modes are: autosomal dominant with incomplete penetrance and a dominant X-linked chromosome. Each of these modes has demonstrated intrafamilial variability in their clinical manifestations.Tooth agenesis is the most common anomaly of dental development and may occur as an isolated entity or that composing well-documented syndromes. These clinical situations appear to be due to chromosomal defects or mutations of the genes responsible for organogenesis ,,,Although the presence of dental anomalies may suppose a simple cosmetic problem with specific clinical considerations, the scantly referenced associations with polythelia (in syndromes of greater diagnostic complexity"}
+{"text": "Animals and humans must behave efficiently in acoustically rich environments, where few sound sources are of interest out of many others that are considered background noise. How does the auditory system implement such robust processing is a topic of intense research. In this work I am interested in the neural mechanisms underlying detection of novel objects in auditory scenes, such as a novel sound source at a given location.It has been shown psycho-physically that the perception of a sound depends on the acoustical context in which it occurs. A basic example of such effect is called enhancement . A harmoI implemented on the Brian simulator and its auditory package a model The present functional study of auditory enhancement suggests that such contextual effects could be critical for animal survival and for hearing in realistic conditions. The results show how simple neural mechanisms modulate a sensory pathway so that it adapts to its surrounding environment and suggest that bias in perception could have ecological advantages. The model could also inspire the design of speech processing devices in real environments."}
+{"text": "The combination of the acromion Open fracture to a section of the supraspinatus tendon is an exceptional situation. The author reports the case of a young patient with a wound of the posterolateral side of the right shoulder. Screwing was done for the fracture of the acromion after supraspinatus tendon suture with good clinical and radiological outcome after an appropriate rehabilitation. Open fracture of the acromion is an exceptional clinical entity and should be reported. A heavy stab wound was the cause of this exceptional lesion association in a young patient whose surgical exploration noted a supraspinatus tendon rupture with capsular break. The reconstruction of the acromial arch with rotator cuff repair was needed urgently under antibiotic cover and anti tetanus serum.The authors report the case of a 19 year old man; autonomous; right handed laterality; carpenter by profession; without medical or surgical particular history; victim of an accidental injury by a knife causing a wound from the outer side of the right shoulder. The clinical examination objectifRadiographs objectifA joint lavage was the first operative time. A careful closure of the joint capsule with absorbable suture followed by a suture supraspinatus tendon with a no absorbable suture by points X. An osteosynthesis of the acromion bone fragment by two 3.5 mm cancellous screws .The evolution marked by a consolidation of the fracture with complete functional recovery after a suitable rehabilitation shoulder started working early and the joint amplitudes and muscle strength .The literature review has not revealed a similar published case involving an open fracture of the acromion and supraspinatus tendon injury. The young person is more prone to this type of severe trauma to the shoulder and especially male , 2. The Scapula fractures are very rare; they represents only 1% of all fractures . In thisSeveral technics for fixation of fractures have been described acromion, including tension band wiring for more distal fractures, plate fixation for fractures that are more proximal or through the acromial base and spine, interfragment screw fixation, as the case of our patient, plate fixation supplemented with interfragment screws, and fixation with Kirschner wires. According to the DASH score functional outcome is very satisfying to 6 months after ablation materiel. No local complications were reported especially calcification or early or late infection.This is a very rare case that combined an open acromion fracture to a supraspinatus fracture. Care of this type of lesion should be emergency operated with a solid osteosynthesis and tendon suture for early and appropriate rehabilitation."}
+{"text": "In an individually randomised controlled trial (iRCT) where the intervention is delivered by a health professional/therapist it seems likely that the effectiveness of the intervention could depend on the skill of the therapist delivering it. This leads to a potential clustering of the outcomes for the patients treated by the same therapist.If outcomes are clustered then the usual statistical methods for analysing RCT data may not be appropriate as they assume that outcomes observed on different participants are independent.In some iRCTs there is clustering in only one arm; where the therapist only treats participants in one arm of the trial but there is no equivalent clustering in the control arm.Several strategies have been proposed for this problem: ignoring the clustering; imposing clusters in the control arm and fitting a fixed or random effects model, or using a partially clustered approach where only the clustering in the treatment arm is modelled.This talk will describe and compare the statistical methods for analysing continuous outcomes from an iRCT with some element of clustering in one arm. Four confirmatory case studies will be analysed using each of the methods: specialist clinics for the treatment of venous leg ulcers , acupuncture for low back pain , cost-effectiveness of community postnatal support workers (CPSW) , and Putting Life in Years (PLINY) . Recommendations for the best and most practical approaches will be made."}
+{"text": "The primary bilateral macronodular adrenal hyperplasia or the independent adrenocorticotropic hormone bilateral nodular adrenal hyperplasia is a rare cause hypercortisolism, its diagnosis is challenging and there is no clear way to decide the best therapeutic approach. Adrenal venous sampling is commonly used to distinguish the source of hormonal production in patients with primary hyperaldosteronism. It could be a useful tool in this context because it might provide information to guide the treatment. We report the case of a patient with ACTH independent Cushing syndrome in whom the use of adrenal venous sampling with some modifications radically modified the treatment and allowed the diagnosis of a macronodular adrenal hyperplasia. Cushing syndrome is a rare disease caused in most cases (after steroid use has been excluded) by a pituitary ACTH-producing adenoma A 76 years-old woman with history of controlled hypertension (with losartan and amlodipine) presented to our hospital referring weight loss of 4 kg in two months, edema that progressed to anasarca and back lumbar pain. Besides the edema her physical examination was completely normal with no clinical signs suggestive of hypercortisolism. Among the studies requested, an abdominal tomography showed a right adrenal gland nodule of 14x9 mm and another one in the left adrenal gland of 23x18 mm , additioWith these results an ACTH (adrenocorticotropic hormone) independent form of hypercortisolism was diagnosed and because the scan of the abdomen had documented the presence of two adenomas, one in each adrenal gland larger than 10 mm, we found ourselves with a therapeutic challenge since the resection of one of the glands may not cure the hypercortisolism in case that the hormonal production came from both glands and the resection of both glands with leave the patient with a permanent hypoadrenalism. It was decided then to perform an adrenal venous sampling to try to determine the origin of the of cortisol production.A previously described protocol was used The patient did not have any postoperative complication and received replacement therapy with hydrocortisone 50 mg every 8 h during the first 48 h and subsequently received prednisolone 10 mg and 0.1 mg of fludrocortisone replacement with resolution of the hypokalemia.The macronodular bilateral adrenal hyperplasia or ACTH-independent macronodular adrenal hyperplasia (AIMAH), is one of the rarest causes of hypercortisolism and its true frequency has not been established. Less than 2% of all cases of hypercortisolism are explained by any form of bilateral adrenal hyperplasia either macro or micro nodular Adrenal vein sampling is used mainly in patients with hyperaldosteronism. Even in high volume centers with experienced radiologist the success rates are around 70 to 90%6. Adrenal vein sampling is rarely used for the study of hypercortisolism and this is probably due to the rarity of cases in which adrenal cortisol secretion and bilateral nodules present together, but it can be a useful test in this group of patients. It is proposed that some patients could be treated with a unilateral adrenalectomy as production of cortisol could be related to the size of the nodule Based on the above it was decided to perform the extraction of both adrenal glands and the result of the pathology confirmed the diagnosis of AIMAH.To our knowledge this is the first report of Adrenal vein sampling in a patient with hypercortisolism and bilateral adrenal adenomas in our country.We made some changes to the procedure reported in the literature, given the difficulty with the measurement of catecholamines we chose to perform verification of proper positioning of the catheter tip by the image from the venography and to correct the dilution difference by measuring aldosterone, the biochemical diagnosis was confirmed histological which allows us to conclude that the verification by venography was adequate.This technique allowed an accurate diagnosis and avoids the need for re-intervention in the case that the glandular size guided the treatment."}
+{"text": "With continually increasing global connectivity and wholesale change of landscapes, the need to understand and control the spread of invasive species has never been greater. To do so requires insight into the factors that allow particular species to become invasive to begin with as well as into the evolutionary trajectory those invasive populations follow after establishment in new ranges.One of the more prominent hypotheses explaining the success of invasive species relies on the idea that populations can disperse away from their natural enemies, and thus grow without the constraints of antagonist-mediated control. Recent work by Tiantian Lin et\u00a0al. builds on this idea by demonstrating parallel evolution of invasive plant populations across three geographically distinct regions towards decreased investment in defense and increased competitive ability. By comparing the competitive ability of native versus invasive genotypes of Common ragwort in either the absence of herbivores or in the presence of either a specialist or a generalist herbivore, the authors were able to show that invasive genotypes outcompete their native conspecifics in both the absence of herbivores and presence of the generalist herbivore, but have lowered defenses against the specialist herbivore of most founding populations. The authors describe how environmental and genomic perturbations typical of invasion may favor activation of transposable elements, and therefore increase the rate of introduction of potentially beneficial alleles (Stapley et\u00a0al."}
+{"text": "To improve the ability to accurately report CT and MRI by learning to recognise benign findings that may mimic malignant pathology in the setting of scans performed on patients with known malignancy.CT and MR images will be displayed demonstrating benign abnormalities that are easily misinterpreted as metastases, recurrent tumour or residual tumour in patients with known malignancy. Examples of benign findings will be displayed next to the corresponding malignant abnormalities to demonstrate the potential error.The ability to accurately differentiate between benign and malignant disease can be challenging and can contribute to reporting discrepancies even amongst experienced radiologists. This can be especially demanding when imaging patients with known malignancy and is a concern for general and specialist radiologists. Being aware of abnormalities that mimic malignancy will help to increase the accuracy of CT and MR reports and ensure the correct treatment plans are implemented."}
+{"text": "Solar radiation is essential for photosynthesis and global crop productivity but it is also variable in space and time, frequently being limiting or in excess of plant requirements depending on season, environment and microclimate. Photoprotective mechanisms at the chloroplast level help to avoid oxidative stress and photoinhibition, which is a light-induced reduction in photosynthetic quantum efficiency often caused by damage to photosystem II. There is convincing evidence that photoinhibition has a large impact on biomass production in crops and this may be especially high in rice, which is typically exposed to high tropical light levels. Thus far there has been little attention to photoinhibition as a target for improvement of crop yield. However, we now have sufficient evidence to examine avenues for alleviation of this particular stress and the physiological and genetic basis for improvement in rice and other crops. Here we examine this evidence and identify new areas for attention. In particular we discuss how photoprotective mechanisms must be optimised at both the molecular and the canopy level in order to coordinate with efficient photosynthetic regulation and realise an increased biomass and yield in rice. As an example, regions such as Central Luzon in the Philippines and Central and East Java in Indonesia can receive accumulative annual solar irradiation of more than 2200 kWh m\u22122. In regions that are environmentally vulnerable, higher light intensities could result in damage to crops and a significant reduction in yield. Photoinhibition is usually considered as a short-term response to periods of high light although is affected by long-term responses to environmental conditions (acclimation). In order to place photoinhibition in context with agricultural productivity which occurs over longer time scales it would be beneficial to link it with long term weather data. In this short review we summarise the current evidence that high irradiance levels result in significant yield reductions in rice crops at the metabolic and canopy levels.As the only significant source of energy, incident solar radiation (sunlight) at the surface of the earth governs climate and the meteorological cycles and is essential for life. It has a major effect on the diurnal and seasonal temperature variations as well as the productivity of both terrestrial and aquatic plants by providing energy for the assimilation of carbon by plant canopies within the thylakoid membrane. This creates resonance energy, which is then transferred through neighbouring chlorophyll molecules to photosystems. An excited chlorophyll a molecule can return to ground state after light absorption through several pathways \u2013 photochemistry (photosynthesis), thermal dissipation, chlorophyll fluorescence or formation of a reactive oxygen species (ROS). The latter two are much less likely than the former resulting in a sustained decline in photosynthesis low light episodes and can substantially limit photosynthesis (Ogren 2 and Pmax (light-saturated photosynthesis) under very high light. While it has been suggested that under certain circumstances it may occur subsequent to photosynthetic down regulation or damage possibly associated with high carbohydrate levels proteins has been shown to accelerate photoinhibition under strong light or non-photochemical (occur prior to photolysis in PSII). Non-photochemical quenching (NPQ) refers to the measurement of thermal dissipation of excess excitation energy in PSII and photoinhibition. In fact, studies show a broad (negative) relationship that exists between the capacity to utilise light energy within photochemical sinks (carbon fixation and growth) and NPQ capacity difficult. However, the continued development of high-resolution phenotyping platforms (with automated darkening and light treatment) is expected to overcome this and uncover the genetic basis of these traits used in breeding programmes and less under others (low light or during periods of moderate but rapid high \u2013 low transition). The patterns of photoprotection required will be determined by the proportion of canopy surface area exposed to high radiation that induces photoinhibition and the properties of light fluctuations that limit photosynthesis. So how can this problem be solved? Existing models of canopy photoinhibition can predict the impact of \u03a6COThe genetic improvement of crop yield will need to be integrative and consider multiple stress and signalling pathways in the plant. In this review we focus on responses to high light, which will compound the effects of other stresses. We have highlighted the weak links between leaf level effects and field yield and explain the case for a better understanding of canopy level optimisation.Finally we note some novel and highly relevant climatic factors related to irradiance. Studies carried out since the 1990s found a decline in solar radiation at the surface of the earth between the 1950s and the 1980s (Wild and Wild"}
+{"text": "Over a thousand nerve, skin and salivary gland biopsies were performed in FAP patients during the last forty years in our centre. We will try to demonstrate the different biopsy approaches over the years and confirm that biopsy of different types of tissue are useful not just in the diagnosis but also in the study of the pathogenesis of the disease.Retrospective analysis of our database since 1973 till 2014 showed 253 nerve biopsies, 441 skin and 738 salivary gland biopsies. Some of these were combined biopsies, nerve and skin or muscle nerve and skin. Except for the salivary gland biopsies they were all performed by one of our neuropathologists.Until 1988, nerve and skin biopsies were commonly performed for diagnostic purposes, after that with genetic testing being available all tissue biopsies declined in number and were only needed in difficult diagnostic cases or when genetic testing was not available. Nerve biopsy became relevant again with the appearance of atypical clinical presentations or late onset or sporadic patients where the clinical diagnosis of FAP had not been considered. Nerve biopsy was also performed to establish the diagnosis of \u201cde novo\u201d amyloid neuropathy in recipients of domino liver transplants from FAP individuals, who started showing symptoms of neuropathy, and to rule out other causes of neuropathy.Since 2005, salivary gland biopsy has become our method of choice to demonstrate amyloid and is as effective as nerve or skin biopsies.During the last forty years biopsies of different tissues were used to demonstrate amyloid. Nerve biopsy is still a useful tool not just for diagnostic purposes in problematic cases but also to understand the pathogenesis of the disease. Salivary gland biopsy is now our favoured method as it is a minimally invasive procedure and amyloid is demonstrated in very early stages of the disease. Biopsy could also be a tool to monitor treatment with the new drugs available."}
+{"text": "Burnout in healthcare workers is deleterious both for the patients as well as for the healthcare workers themselves with consequences ranging from less job satisfaction to increased mortality rates. Burnout in intensivists is reportedly high with almost half of French intensivists having burnout symptoms.The present study was done to estimate incidence and prevalence of burnout in intensivists in the Netherlands and to identify risk factors for burnout.Two online questionnaires were sent: one to all intensivists in the Netherlands and one to the medical directors of Dutch Intensive Care Units (ICUs).A reply was received of 318 out of 664 intensivists (47.9%). Results of 272 intensivists were evaluable, 12 of whom (4.4%) were diagnosed with burnout at the time of the questionnaire. No association was found between working conditions or personal characteristics and burnout, except for the association between burnout and conflict with the hospital management and between burnout and having complaints filed against one. From the medical directors questionnaire it was found that 7.4% of intensivists suffered from burnout in 2013.Incidence and prevalence of burnout among Dutch intensivist was found to be unexpectedly low as compared to the literature. No firm associations were found between burnout and working conditions or personal characteristics. The low incidence and prevalence of burnout in Dutch intensivists might be explained be a lower workload for intensivists as compared to the literature.This study was done with support of the Dutch Society for Intensive Care"}
+{"text": "This presentation will focus on a UK Cochrane funded project that explored different ways of engaging patients, the public and health practitioners in the development of outcomes for systematic reviews. It is called 'Outcomes Most Important for Patients, Public and Practitioners (OMIPPP)'.http://www.healthtalk.org). Healthtalk researchers reanalysed the original data for clues to outcomes. These were shared, discussed and compared with existing outcomes used in systematic reviews of breastfeeding interventions.Working with three Cochrane Review Groups (CRG); Airways, Ear Nose and Throat (ENT) and Pregnancy and Childbirth we focussed on outcomes for reviews in Asthma, Rhinosinusitis and Breastfeeding respectively. For each group we used a different method to engage; for asthma we facilitated a full day workshop. Working in partnership with Asthma UK, we prepared for this by gathering perspectives of asthma via a Facebook survey, and reviewing existing core outcome sets. Working in partnership with evidENT we gathered perspectives in rhinosinusitis using an online survey and experimented with social media as a way of reaching out beyond their networks as there are no relevant patient groups. We compared survey findings with existing outcomes used for reviews of chronic sinusitis. For breastfeeding we worked with the National Childbirth Trust and the Breastfeeding Network to review an existing online collection of experiences of breastfeeding called Healthtalk (At the time of writing this abstract the project is not yet complete, however early results will be discussed. We are interested in the following aspects of evaluation; how relevant was the gathered data for systematic review outcomes? What were the cost and resource implications of each method? From a review group perspective how feasible are these methods? Has the project extended the reach of CRGs with interested public/patient and practitioner groups? How does our data compare with other outcomes exercises e.g. COMET?"}
+{"text": "Aspergillus fumigatus, and pre-existing conditions such as pulmonary functional abnormalities such as cystic fibrosis or chronic obstructive pulmonary disease provides a favorable environment for Aspergillus colonization and biofilm formation in the lungs or during invasive aspergillosis and are considered as an important virulence determinant for a pathogen. For a fungus specie, growing as multicellular community may confer biological advantages in the colonization of tissues and may also act as barrier to external aggressions maintenance and stability of biofilms and (ii) biofilm resistance to antifungal drugs. Similar results were also observed for A. fumigatus biofilms, where the treatment with DNAse destabilized biofilm architecture integrity and concomitant treatment of biofilms with DNAse and amphotericin B or caspofungin improved antifungal susceptibility which consist in masses of decondensed chromatin decorated with antimicrobial proteins and opsonins (McCormick et al., C. albicans (McCormick et al., in vitro models with Aspergillus showed that despite the fact that NETs formation leads to trapping the fungus conferring a fungistatic effect by containing the infection, it does not represent the major factor for killing this fungus since NET-dependent killing of Aspergillus hyphae was only moderated (Bruns et al., in vivo influence of NET's eDNA produced by lungs in Aspergillus biofilm development, which may lead to the combination of antifungal drugs with DNAse to manage pulmonary aspergillosis. Further studies could also explore the Aspergillus ECM physicochemical features and permeability to current antifungal drugs, and these findings may lead to molecular improvement of these drugs by conferring them the capacity to penetrate ECM Aspergillus biofilm and act in their respective molecular targets.Taken together these findings, the next steps would include the elucidation of the The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Online sexual health services are an emerging area of service delivery. Theory of change critically analyses programmes by specifying planned inputs and articulating the causal pathways that link these to anticipated outcomes. It acknowledges the changing and contested nature of these relationships.We developed two versions of a theory of change for an online sexual health service. The first articulated the theory presented in the original programme proposal and the second documented its development in the early stages of implementation through interviews with key programme stakeholders.The programme proposal described an autonomous and empowered user completing a sexual health check using a more convenient, accessible and discreet online service and a shift from clinic based to online care. The stakeholder interviews confirmed this and described new and more complex patterns of service use as the online service creates opportunities for providers to contact users outside of the traditional clinic visit and users move between online and clinic based care. They described new types of user/provider relationships which we categorised as: those influenced by an online retail culture; those influenced by health promotion outreach and surveillance and those acknowledging the need for supported access.Co-development of clinic and online services to support complex patterns of service use.Developing access to online services for those who could use them with support.Understanding user experience of sexual health services as increasing user autonomy and choice in some situations; creating exclusion and a need for support in others and intrusiveness and a lack of control in still others.This analysis of stakeholder views on the likely the impacts of online sexual health services suggests three areas for further thinking and research.This work has influenced the evaluation of this programme which will focus on; mapping patterns of use to understand how users move between the online and clinic based services; barriers to use of online services among some populations and how to overcome these; understanding user perceptions of autonomy in relation to online services. Increasing demand for sexual health services, limited resources for sexual health care and new Online sexual health services are thought to be less expensive than similar services delivered in clinic settings and to iIn 2013 we started developing and evaluating an online sexual health service linked to a telephone and clinic-based service in an area of South East London with a young, multi-ethnic population experiencing high levels of socio-economic deprivation and with very high levels of sexual ill health. This programme proposes a web based sexual health service with a linked telephone service and direct referral into local clinics when required. The service is planned to evolve through small-scale prototype development and testing. As recommended for the evaluation of complex interventions we sought to generate a conceptual model for the intervention, link this to the published evidence and the local context and then monitor its development during programme implementation .Identifying long term goalsBackwards mapping and connecting outcomesIdentifying assumptionsWe developed a theory of change to articulate the conceptual model underpinning the programme and its development. Theory of change critically analyses new programmes by articulating the causal pathways that link specified inputs to anticipated outcomes. It acknowledges the need to test these relationships for new programmes and their development during implementation \u201312. TheoThis process informed our evaluation strategy for the programme by identifying key outcomes, process indicators and assumptions that required testing.Van Belle et al. recommenThe proposed long term goals of the programme were identified from the original funding bid, developed by the two London borough public health departments and two NHS foundation trusts providing specialist sexual health services. We (PB and JS) read and re-read this document to identify the planned inputs and anticipated outputs described in the document and the steps that connected them. We developed a series of diagrams to describe these linkages and the assumptions that underpinned them. We imported the document into qualitative data analysis software Nvivo and coded this material using our coding frameworks based on early versions of our theory of change diagrams to check the relationship between our initial theory of change and the text of the bid. We completed several cycles of causal model development and modification to ensure that our diagram accurately reflected the information in the bid. Finally we identified the key assumptions that underpinned the linkages in our causal model as important areas for evaluation.Having developed an initial version of the theory of change from the programme funding bid we then repeated a modified version of this process during programme implementation using interviews with stakeholders as our data source.Four clinicians in local services Three senior managers within clinical servicesThree senior managers within local government, public health and commissioningFour potential service users sampled to include individuals from the populations most at risk of sexual ill health in the local area; men who have sex with men, young people, and those from black and minority ethnic groupsWe recruited our interview participants to reflect the full range of stakeholders for the project including;All of the 14 stakeholders who were invited to complete individual interviews accepted our invitation. Each participant provided written informed consent. Interviews began with the interviewer describing the planned service inputs . These were listed on the left hand side of a large sheet of paper. Participants were then asked to list all of the outcomes, both positive and negative that they anticipated from this input. These were listed on the right hand side of the paper. By asking what needed to happen for the input to lead to the anticipated outcome and why this needed to happen participants were encouraged to map this relationship and to reflect on the assumptions that underpinned it . As thisOur qualitative analysis used the framework approach , a matriEthical approval for this research was granted by King\u2019s College London research ethics committee (Ref: BDM/13/14-42).that potential users have private internet access and sufficient health literacy to use an online facilitythat the online service is more convenient and discrete than use of clinical services, at least for some people; that the pattern of service use replicatesthat online services cost less than clinic based servicesthat the loss of health professional contact associated with online services is acceptable to users.The theory of change developed from the programme funding application articulated a causal chain with more convenient and discreet sexual health testing leading to increased uptake of testing and treatment, coupled with consistent health promotion advice to generate the final outcome of reduced STI transmission Fig.\u00a0. It refeThe theory of change developed from the stakeholder interviews supported the idea of online services as more convenient and more discrete The participants predicted new patterns of service use and new forms of user/provider interaction. Rather than a straightforward shift of activity from one service to another they thought users would choose to move between services for example complementing a clinic visit with online information or an online sexual health check with a visit to the clinic for reassurance or support.\u2018I\u2019ve tried to find out information online, for clients here, and there is some information on NHS Direct, but unless you can actually spell chlamydia or gonorrhoea, or syphilis; it\u2019s actually quite hard to find information\u201d.This more complex view of how users might choose to use services questioned the simple cost effectiveness analysis proposed in the initial bid. Stakeholders described the additional responsibilities associated with self management, loss of support/reassurance/empathy that might be part of a clinical consultation and missed opportunities to identify additional unmet need, for example, advice and referral for those experiencing intimate partner violence.They described new roles for clinic staff with provider driven, technology mediated, contacts such as reminders to take treatment or notify partners or follow up offers of tests or support. They emphasised the potential inequity of access to online services and the possibilities for providing additional remote support for those who might be able to use the service with help. These new approaches to service use were associated with descriptions of user/provider relationship. We summarised these as an \u2018online retail approach\u2019 that emphasises patient autonomy and choice; a \u2018public health promotion/surveillance\u2019 approach that emphasises outreach to support behaviour change or monitoring of service access and a \u2018supported care\u2019 approach that references a need for health care professional mediated support during use of the online service Table .Based on the stakeholder interviews we developed a second theory of change that incorporates this thinking see Fig.\u00a0. This emThe development of these two versions of the theory of change for this programme contributes to service development, implementation and evaluation. It identifies the development of support packages to enable online service use as a priority for service development; the co-development of online and clinic based services as a priority within the implementation strategy and the need to document new patterns of service use as clients move between clinic and online options as a priority for evaluation.The rationale for the development of online services as described in the two versions of our theory of change is based on a number of key assumptions. The architects of the original bid assume; private internet access, health literacy, an online service that is convenient and discrete, online services that are cost effective and the acceptability of loss of a consultation. These are supported by evidence from both similar interventions and other relevant sources. National statistics show that 76\u00a0% of UK adults accessed the internet daily in the 2014 and 96\u00a0% of 16 to 24\u00a0year olds access the internet via mobile device but a 20The modified theory of change has three further assumptions essential to these new causal pathways; that users are willing to take on new responsibility for their own sexual health care; that remote support will enable new online users and that clinic processes will adapt to the new online service provision. The stakeholder interviews echo issues raised in the published literature on the potential of internet services to disproportionately enable some users to take on increased responsibility for their own health care , 32. ThoThe stakeholder interviews document what is potentially lost through use of online services and while suggesting that everyone should have access also suggests that not everyone will want to have access. This echoes the critiques of telemedicine and e-health that describe the potential loss of agency that comes from allowing digital health technologies into the home . The revFinally the stakeholder interviews suggest that online service introduction should be considered as part of a dynamic sexual health economy and not a stand-alone service. The clinic is likely to experience changes in its users, the problems they present and the clinic staff and processes available to respond as clients move between the online, telephone and face to face service. This is not a bolt on service but a change to the whole system of sexual health service provision and close working between the different elements of the system will be essential. A 2014 review of the literature suggests that co-development of online and clinic based services has received little attention to date but is an emerging area of focus in the development of online health services , 40.Co-development of clinic and online services to support complex patterns of service use.Developing access to online services for those who could use them with support.Understanding user experience of sexual health services as increasing user autonomy and choice in some situations; creating exclusion and a need for support in others and intrusiveness and a lack of control in still others.By documenting the development of the theory of change during implementation we identified three elements of online services that would benefit from further research.This work has influenced the evaluation of this programme which will focus on; mapping patterns of use to understand how users move between the online and clinic based services; barriers to use of online services among some populations and how to overcome these; understanding user perceptions of autonomy in relation to online services."}
+{"text": "Jean-Paul Chretien and colleagues argue that recent Ebola and Zika virus outbreaks highlight the importance of data sharing in scientific research. The recent outbreaks caused by Ebola and Zika viruses highlighted the importance of medical and public health research in accelerating outbreak control and prompted calls for researchers to share data rapidly and widely during public health emergencies.Effective preparation for emergencies requires the routine practice of data sharing in scientific research.Key impediments to data sharing, such as long-standing academic norms and human and technical resource limitations, cannot immediately be surmounted when an emergency occurs.Ongoing research that does not directly relate to an emergency now may be critical for the next unpredictable outbreak.As part of emergency preparedness, the scientific community should support ongoing initiatives that address major obstacles to data sharing and should embrace open science practices in both emergency and nonemergency research.In February 2016, Wellcome Trust organized a pledge among leading scientific organizations and health agencies encouraging researchers to release data relevant to the Zika outbreak as rapidly and widely as possible pdm09) originating in Mexico\u2014and we can be sure there are more surprises to come. Opening all research provides the best chance to accelerate discovery and development that will help during the next surprise."}
+{"text": "It is hypothesised that intraerythrocytic malaria parasite metabolism is not just fulfilling the need for ATP generation, but is highly evolved to support rapid proliferation, similar to what is seen in other rapidly proliferating cells such as cancer cells. Evidence is presented that deregulated glycolytic activity coupled with impaired mitochondrial metabolism is a metabolic strategy to generate glycolytic intermediates essential for rapid biomass generation for schizogony.1 and dihydroorotate dehydrogenase-targeting drug development programmes and within the context of current target product profiles for the malaria elimination agenda.The role of the parasite mitochondrion during key stages of the parasite life cycle makes it an attractive target for the development of novel prophylaxis, treatment and transmission blocking drugs. Using a targeted pharmacometabolomic approach, additional mitochondrial targets with therapeutic potential are identified and the potential of the development of inhibitors against these novel targets is discussed in the context of recent experiences with bc"}
+{"text": "The systematic review by Bleich and colleagues contributes to the much needed evidence supporting management of patients with multiple chronic conditions \u2014 multimorbidity. Although the review\u2019s focus is the United States, it addresses an issue that is highly relevant to all health care systems and raises important questions about how we can design systems to address the needs of this vulnerable group . LiteratThe systematic review of Bleich et al provides evidence from 27 studies that examined 5 models of care and suggests that care management, case management, and disease management are promising models for people with multimorbidity. This finding seems to fit with our intuitive sense that care coordination will reduce the challenges experienced by people with multiple chronic conditions, related polypharmacy, and high use of health care services . In addiThe review of Bleich et al also highlights the heterogeneity within the population of people with multiple chronic conditions and their overlap with other patient groups in relation to disability and frailty. Definitions of multimorbidity and related constructs such as comorbidity continue to be debated , but theAn additional key issue that Bleich et al discuss is the need for appropriate comparison or control groups to allow for robust evaluation. Ideally, randomized trials would be employed that use cluster and stepped wedge designs where appropriate. Only 13 of the 27 studies included in this review were randomized controlled trials (RCTS), which may partially explain the differences between Bleich\u2019s review and the related Cochrane review. The Cochrane review included only RCTs and not less robust study designs, and the included studies were from a wider range of countries, including the United States . VariatiThe systematic review of Bleich et al highlights the need for further evidence to support policy and management of patients with complex multimorbidity. In the meantime, studies should be designed to allow robust evaluation of interventions and should build on the evidence from this and related reviews that suggest a health care focus on patient-centered outcomes for patients with multimorbidity."}
+{"text": "In Australia\u2019s War against Rabbits, Brian Cooke details the emergence of rabbit hemorrhagic disease (RHD) in Asia and Europe and subsequent efforts to introduce RHD virus into Australia and New Zealand for rabbit control in the 1990s. The book documents the ecologic adaption between a virus and its animal host and provides cogent examples of our inability to contain the spread of (what was thought to be) a well-understood virus after it escaped into the environment.The first failed containment effort ensued after the virus jumped from a quarantine compound on Wardang Island to the coast of South Australia 3 km away. Despite a program carefully designed to counter unplanned spread of RHD virus on the Australian mainland (Operation Garter), the virus prevailed. Uncontained spread also followed an intentional and illegal release of RHD virus in New Zealand in 1997 when a farmer with intractable rabbit problems allegedly smuggled the virus in from Australia. After the outbreak started, instead of helping the New Zealand government control RHD, farmers reportedly used blenders to make \u201crabbit smoothies\u201d and actively spread RHD virus by applying these slurries to carrot baits.The book is generally well written and heavily referenced and contains many anecdotes penned by a scientist obviously passionate about his work. The flow of the narrative can sometimes be erratic, however, veering from amusing personal stories to a didactic recounting of the taxonomy of rabbit parasites or legislation relevant to pest control in Australia. Australia\u2019s War against Rabbits is best suited for professionals with a keen interest in rabbits, fleas, and their pathogens."}
+{"text": "We were interested in exploring the use of timing or delays in learning in neural networks. The work was developed by wondering about the effects of glia on network learning in the human brain. To investigate this idea, we created a Multilayer Perceptron (MLP)-based feedforw"}
+{"text": "RARHA (REDUCING ALCOHOL RELATED HARM) is a Joint Action (JA) (2014-2016) funded under the EU Health Programme and by EU Member States to address some commonly identified priorities to reduce levels of alcohol related harm in the EU. The work package 5 contributes towards increased understanding among public health policy makers of the scientific basis and practical implications of the use of drinking guidelines as a public health measure, and towards more aligned messages to the general population, subgroups and health professionals.The objectives are to evaluate the presence (or not) of guidelines on EIBI for HHAC on the basis of the existing and available EU projects/documents (1-4) and by additional information based on ad hoc survey across European Union Member States.A country specific questionnaire has been developed by the National Observatory on Alcohol for confirming the available sources of EU projects or documents and for collecting and/or upgrading information on drinking guidelines used in the context of EIBI. The form has been submitted by email to the country representatives of the Committee on National Alcohol Policy and Action as members with qualified experience and competence. Participants have been asked to check the validity of the information provided by the country questionnaire reported as \"review of available sources\" and to provide the most updated and reliable information for their Country (The survey started on May 2014).Twenty-nine out of 31 European countries selected , replied to the RARHA questionnaire. Twenty countries have a governmental organization responsible for preparing clinical guidelines for managing HHAC; twenty-two countries have multidisciplinary guidelines approved or endorsed by at least one health care professional body or scientific society and 22 countries have guidelines or recommendations for BI/treatment.The collected information represent the scientific basis and practical implications of the use of drinking guidelines as a public health measure. It serves to clarify the science underpinnings and practical/policy implications concerning low risk drinking guidelines, and work towards consensus on good practice principles in the use of drinking guidelines as a public health measure to help reduce HHAC. This activity, finalized to provide a more aligned messages to the general population, subgroups and health professionals, is ongoing (Rarha Delphi survey)."}
+{"text": "Using interpolation and collocation techniques, a continuous scheme is developed and used to obtain discrete methods which are applied via the Block unification approach to obtain approximations to the resulting large system of ODEs. Several test problems are investigated to elucidate the solution process.In this article, the boundary value method is applied to solve three dimensional elliptic and hyperbolic partial differential equations. The partial derivatives with respect to two of the spatial variables ( The general three dimensional problem (without cross derivatives) is given asThe numerical approximation of has recementclass2pt{minimy and z variable with mesh spacings The method of lines approach is commonly used for solving PDEs whereby the PDEs is converted into a system of ODEs by replacing the appropriate derivatives by finite difference approximations. Our objective is to convert the 3D PDEs into a system of ODEs by replacing two of the spatial derivatives by central difference approximations. The resulting system is then solved using the BVM. Specifically, we discretize the k and whose k additional conditions are not only imposed at the beginning of the integration process but also at the end so that they form a discrete analog of the continuous boundary value problems. Thus, they are used for the numerical approximation of both initial and boundary value problems. They have been used for the solution of first order 1D initial and boundary value problems and their convergence and linear stability properties have been fully discussed in Brugnano and Trigiante 7), we handitions on 11),,\\documenThe coefficients given in are specWe note that the method is locald system over thementclasspt{minimaWe discuss the convergence of the BVMs in the following theoremLet be an approximation of the solution vector for the system obtained on a partition from the method is the local truncation error vector of the formulas in for nonlinear problems.Step 4 The solution of and with zero boundary values on the entire We consider the Laplace equation with non zero forcing term in Zhang and whosmentclass2pt{minimmentclass2pt{minimNext, we consider the following Sine-Gordon equation given in Cui \\documententclass1pt{minimaentclass1pt{minimaWe also consider the following equation given in Cui \\documentWe also consider the singularly perturbed convection diffusion equation given in Mohanty and Singh \\documentThe singularly perturbed elliptic boundary value problem given in Mohanty and Singh \\documentIn this paper, we have developed a highly accurate 3D problem solver. This has been achieved by the discretization of two of the spatial variables and the construction of a continuous BVM via the interpolation and collocation approach for solving the resulting semidiscretized system. The results given in \""}
+{"text": "Whilst extant literature demonstrates the aetiology, incidence and outcomes of eating disorders in women, with evidence showing the impacts on pregnancy, the fetus and parenthood adjustment, there is a paucity of research regarding how women make meaning of the experience. A phenomenological study provided a description of the pregnancy experience as perceived by a cohort of women with diagnosed eating disorders. Data were collected via semi structured interviews with women with a known diagnosis of an eating disorder either in the past or present and who had been pregnant within the previous twelve months. Data were analysed using constant comparative approach seeking themes and patterns.The study identified fourteen key themes that describe the women's experience of living with an eating disorder while pregnant. These themes included a basic description of the pregnancy journey itself; the use of metaphor; perceptions of motherhood; concerns about the baby; and body image. In addition, eating disorder behaviour; eating disorder status; secrets; wishes; misconceptions; support; emotions; health professionals' interactions and healthcare improvements were also identified. It is important that healthcare providers have an awareness that pregnant women may be undergoing personal distress and to be sensitive to the specific needs of women with eating disorders. This study has raised awareness of this issue and provided a baseline for further research in the area.Learning from Consumers stream of the 2014 ANZAED Conference.This abstract was presented in the"}
+{"text": "The rapid advancement of sequencing technologies has not been without challenges. The extensive size of genomes as well as the need to comprehend the vast complexities of genomic information has fostered the need to utilize more robust computational methods and statistical analysis tools. In a gene expression study involving multiple treatments, a time series analysis of differentially expressed genes provides great insights into the replicates. Such information is useful in identifying the potential sources of variation that cannot be easily extrapolated from a generalized experimental approach. It is also essential to be able to group the identified gene expression patterns in order to attain meaningful interpretations.The experiment employs the use of R software to identify gene expression patterns in a dataset involving parathyroid tumor treatments . The tre"}
+{"text": "Approximately 80% of human food is composed of crops, which are dominated by cereals that collectively make up 50% of global food production , identification of stress proteins, and the analysis of post translational modifications (PTMs) of proteins Figure .Understanding how plant cells sense and respond to abiotic stress is not only fundamental to our understanding of stress tolerance, but has the potential to yield novel approaches to improve crop productivity. Cellular proteomics plays an essential role in determining the functions of cellular compartments and the mechanisms underlying protein/gene targeting and trafficking.Currently, numerous organ-specific proteomic analyses of abiotic stress in crops have contributed to our understanding of the response mechanisms of crops to abiotic stresses from specific cells or tissues, an appropriate sampling method needs to be first developed to obtain relatively pure subcellular fractions from this material. A promising sampling method is laser capture microdissection (LCM), which can isolate specific cell types of interest from sectioned specimens of heterogeneous tissues under direct microscopic visualization with the assistance of a laser beam will make it possible to use a systems biology approach to understand crop responses to abiotic stresses.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "The death of a baby before or shortly after birth is associated with profound long lasting grief for parents, similar to any child death. The majoA recent metasynthesis of the qualitative literature surrounding parents\u2019 experiences of care highlighted the value of additional emotional and psychological support from healthcare providers in improving care in pregnancy after stillbirth or neonatal death. However,Interim findings of this programme raise the issue of equity in provision of appropriate and sensitive care for parents in subsequent pregnancies who utilise UK maternity services. Data suggests that many parents receive inadequate emotional and psychological support and therefore there is a need to improve the evidence base underpinning care. The findings of this study will directly inform the development of specific interventions to improve antenatal support and promote positive birthing experiences and the development of a clinical care pathway to improve the care of women and their families in pregnancy following perinatal loss."}
+{"text": "Optimal medical treatment and personalised holistic patient care in an even balance is the ultimate management vision of Europa Uomo, the European prostate coalition, for all patients diagnosed with prostate cancer.The professional advice and support given on evidence based medicine is the easiest part of the education. We always provide a short but clear overview of the three main prostate diseases: prostatitis, benign prostate hyperplasia (BPH) and prostate cancer (PCa) and their relationship to Prostate Specific Antigen (PSA). The emphasis that we diagnose far more BPH then PCa has an immediate calming effect on the patient concerning \u2018abnormal\u2019 PSA results. Extending on the urological impeccable track record on BPH treatment with zero mortality and excellent quality of life outcomes is a good introduction to a prostate cancer diagnosis. The second emphasis on PCa as a complex disease with different biological forms is complimentary information. Concluding with the knowledge that most forms are indolent or low risk as compared to intermediate or high risk disease leads to an optimistic dialogue on prognostic factors and primary treatments of PCa .Some optimism and clarity are needed as our increased knowledge on prognostic factors and the many forms of primary treatment ranging from active surveillance to combination treatments of surgery and radiotherapy make a shared treatment decision a complex issue in the doctor-patient dialogue. There are few facts and many uncertainties which require the expertise of teamwork focused on the individual patient. There is medical and societal consensus that cancer is best treated by a multidisciplinary team confirming the improved outcome results recorded in multidisciplinary clinical trials , 3. The There are obvious benefits in integrated cancer management for the patients in a one stop shop where a full state-of-the-art program provides not only a consultation with the different experts on your diagnosis and treatment but at the same time access to innovative, tested health technology.However it is possible that the physician loses some autonomy in turning into a team player with the danger of losing \u2018the colloque singulier\u2019, the personal bond of trust between doctor and patient. This loss is already present in our health management as a direct consequence of advanced health technology where the patient has to put blind trust in the hands of an acknowledged expert. It is part of our modern lifestyle when we board airplanes or call for cabs.Can we save our holistic patient-centered care in the development of PCU? The model should connect intra and extra (civil society) mural services. The latter include all professional and lay stakeholders in community health care.Two factors facilitate the link between medical management and patient care. Health literacy is one of most underrated factors to improve outcomes . It is lWhile we expect our patient responsibilities to facilitate clinical trials, translational research and save scarce health resources we feel that all innovative treatment should report on quality of life and cost-efficiency next to the desired efficacy.Last but not least we want to emphasize the facilitating role that nursing and patient groups can play between the PCU and community health and social care. The development of PCU\u00b4s provides an opportunity for a best practice forum with transparent pathways and outcomes."}
+{"text": "Evidence demonstrated that many aspects of drug abuse and dependence involve changes in glutamate neurotransmission. Neuroadaptations of the glutamatergic system are critical in alcohol dependence, tolerance and withdrawal regulates the majority of extracellular glutamate rats to measure the effectiveness of ceftriaxone in reducing alcohol consumption. These rats naturally prefer drink alcohol to plain water. After 5 weeks of a constant free choice of alcohol, the rats develop alcohol dependence. We administered ceftriaxone to the rats each day for 5 days and measured their alcohol consumption. P rats treated with ceftriaxone reduced their alcohol intake as compared to rats treated with physiological saline solution was found downregulated in animal consumed alcohol for 5 weeks (Alhaddad et al., Furthermore, studies have shown that adenosine plays an important role in regulating the activity of neurons and controlling neurotransmitters, including GABA, glutamate and dopamine (for review see Nam et al., Alcohol abuse and dependence continue to be significant public health concerns. Thus, a better understanding of their neurobiology would facilitate the development of interventions targeting prevention and/or treatment of these major health issues. Here, we focused on the glutamatergic system as therapeutic target for the treatment of alcohol dependence. We have identified potential therapeutic compounds that may have beneficial effects for treating alcohol addiction. We believe that a focus on the glutamatergic system as a prime candidate for mediating drug and alcohol dependence.The author declares that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Revelations that the majority of the world's two billion Christians currently live in developing countries may have important implications for global neglected tropical disease control and elimination initiatives.In December 2011, the Pew Research Center's Forum on Religion & Public Life produced a landmark report titled \u201cGlobal Christianity: A Report on the Size and Distribution of the World's Christian Population\u201d Prior to the Pew Forum's findings, I reported on an unexpectedly high burden of disease resulting from neglected tropical diseases in Catholic-majority countries Shown in The latest information from WHO's Preventive Chemotherapy and Transmission Control (PCT) Databank allows us to superimpose onto the Pew Forum findings the number people who require treatment for either intestinal helminth infections For Chagas disease\u2014predominantly a disease of the LAC region, which is overwhelmingly Christian\u2014almost all of the cases (96%) are found in Latin American nations The findings confirm that approximately one billion Christians who live in developing countries of Africa, Asia, and the Americas are highly vulnerable to NTDs. These diseases, which are highly destabilizing and associated with chronic and debilitating effects, represent a major force that traps the world's poorest Christians in poverty.Today, both the intestinal helminth infections and schistosomiasis are being targeted through regular and periodic mass drug administration (\u201cpreventive chemotherapy\u201d), costing less than 50 cents per person; but WHO estimates that currently only 35% of the world's population eligible for preventive chemotherapy actually receives essential NTD medicines Christian institutions and organizations could have an important role in expanding the control or treatment of NTDs among the 1.3 billion Christians estimated to live in the Global South. As was pointed out earlier, both local archdioceses of the Catholic Church and Catholic charities have been involved in implementing deworming and other preventive chemotherapy strategies Today, the NTDs represent some of the most common afflictions of global Christianity. It is especially noteworthy that Chagas disease and HAT are today almost exclusively a disease of impoverished Christians. Through NTDs, a renewed dialogue with faith-based organizations that work in developing countries and elements of the hierarchy of the Christian Church could make an important difference in global Christianity and the lives of the world's poorest people."}
+{"text": "This review explores the natural products of seagrass that are to be exploited for their bioactive potential. Beside from portraying the presence of a wide array of secondary compounds such as phenols, flavonoids, sterols and lipids from different seagrass species, the focus is on novel natural products projecting towards their biological applications. Though there are a significant number of reports on the abundance of secondary metabolites from seagrass and their bioactive derivatives, only a small number of reports explore their functional and defensive characteristics. Efforts have been made to collate the available information on seagrass natural products and clarify their function and metabolic pathway\u2019s. It is emphasized that metabolic profiling of seagrass should be extensively progressed to obtain a deeper knowledge about the specific roles of each natural product. The investigation of seagrass natural products for their bioactive potential would most likely result in the detection of surprising and unexpected novel chemical structures and clinical leads that may be useful to mankind."}
+{"text": "Many papers have used fluorescent probe diffusion to infer membrane viscosity but the measurement is actually an assay of the free volume of the membrane. The free volume is also related to the membrane tension. Thus, changes in probe mobility refer equally well to changes in membrane tension. In complicated structures like cell membranes, it appears more intuitive to consider variations in free volume as referring to the effect of domains structures and interactions with the cytoskeleton than changes in viscosity since tension is a state variable and viscosity is not. Many papers have used fluorescent probe polarization or anisotropy to infer membrane viscosity \u20138] and and 8] af by the relationA and B are constants, the latter being about unity. This approach successfully explained the data on temperature and pressure dependence of liquid viscosity. However, the free volume of lipid membranes is directly related to membrane tension so measures of probe mobility also reflect membrane tension stu stu12] s"}
+{"text": "Understanding the factors affecting participant attrition in trials is essential for ensuring ethical and effective conduct, appropriate power of the study and successful completion of data collection.The purpose of this research is to explore factors affecting the retention of patients with mental health problems in non-pharmacological randomised controlled trials (RCTs). This paper reports on a qualitative study with staff working on trials aiming to investigate the processes and strategies employed in mental health RCTs.Trialists from universities and research centres in the UK were recruited to take part in this qualitative study. 30 semi-structured interviews were conducted to understand the experiences of staff working on trials, the processes involved in planning and running RCTs and specific issues relevant to clinical research in mental health. The data were analysed using a framework analysis approach.This paper will focus on what retention strategies are used in non-pharmacological mental health trials, how the issue of attrition is dealt with, and what trialists perceive to affect participants\u2019 decisions about staying involved or ceasing their involvement."}
+{"text": "Multicenter databases are useful tools for quality improvement programs. Most of this evidence is based on studies in North America and Europe and little is known in other regions. Since 2011, a Brazilian private cardiovascular center has joined an international registry of cardiac surgeries.To evaluate changes in quality indicators and clinical outcomes of cardiac surgery patients after a multifaceted educational program based on reports of an international database.A multifaceted and continuous educational program based on trimestral reports from the international database was implemented in a Brazilian cardiovascular center. A local team targeted reductions in the time of mechanical ventilation (MV), in length of stay and in the number of inappropriate transfusions. A pilot protocol for rational use of blood products based on guidelines was developed in 2011 [From January 2012 to December 2013, 667 CABGs were performed. The predicted risk of in-hospital mortality by the score of the Society of Thoracic Surgeons (validated in the hospital [These results indicate that quality improvement program based on international database reports can improve outcomes in a Brazilian private hospital. Global registries can be useful tools to overcome gaps in clinical practice in different countries."}
+{"text": "Stab wounds to the neck can be potentially lethal. They are often associated with vascular injury of the carotid artery and jugular vein. Injury of the vertebral artery is rarely seen. The injury can vary from severe bleeding after transection with hemorrhage into the surrounding soft tissues of the neck to dissection and separation of the intimal lining from the subjacent media of an artery and subsequent occlusion of the vessel. We report a case of traumatic vertebral artery transection managed by minimal invasive balloon occlusion. Injury to the cervical carotid arteries are a well-recognized phenomenon in sharp and even blunt neck trauma. Injury to the vertebral artery is less common. The deep location of the vertebral artery within the neck makes injury relatively less common. This deep location also makes it difficult to detect and manage ending in a complete stop if the vertebrobasilar circulation permits this. If the vertebrobasilar circulation is at risk, a covered stent can be placed if the transection can be traversed. If this is unsuccessful a temporary occlusion should be performed to control the bleeding and subsequent definite repair should be performed."}
+{"text": "The recognition of facial dysmorphism remains an important skill for clinical geneticists to acquire despite the expanding use of next generation sequencing tools for the identification of gene mutations and related anomalies. Phenotype-genotype correlations, for example, still have an important role to play in diagnosis and prognosis. Facial morphology can now be quickly captured in 3D and analysed with the support of appropriate computer software. This talk will describe how: 3D images of affected individuals can be combined to delineate characteristic facial features of genetic and related conditions; static and dynamic visualisations can help a clinician to identify what is atypical in an individual child\u2019s craniofacial development; quantitative analysis of face shape can assist with diagnosis and the study of phenotype-genotype correlations; links can be established between facial dysmorphism and neuro-cognitive disability arising from genetic anomaly and teratogen exposure."}
+{"text": "K-RAS oncogene would save at least US $600 million a year. On the other side, many papers in the course of biomarker discovery projects have been published yet, but only few clinically useful biomarkers have been patented and successful validated for routine clinical practice. The reasons for the limitation to bring biomarkers successful on the market are manifold. Regulatory and scientific hurdles as well as lack in the biomarker validation and lack in the technical validation have been cited as one of the main reasons for the slow growth in this area. Whilst the majority of the published biomarkers will not be translated into diagnostic tests, the growth of biomarker used in clinical diagnostics indicates that the future of the industry will lie in the CDx co-development. The first drug introduced using the CDx co \u2013 development \u2013 Herceptin \u2013 has now been on the market for several years. Our study focus on some economics and technical factors that should be considered to successfully develop and market a companion diagnostic test, based on lessons learned from recent case studies. A proposed framework of considerations to be addressed at the various stages of developing effective companion diagnostic test is also presented.In view of an urgent need for novel therapeutics that have a positive impact on morbidity and mortality of chronic diseases, the field is now moving more quickly towards clinical translation from biomarker identification to the development of an companion diagostic (CDx) test. The implimentation of such CDx test is driven by smart preclinical validation, a better study design and improved surrogate readouts using currently available methodologies and diagnostic techniques. Moreover, upcoming novel biomarkers and diagnostic technologies will soon permit a more accurate and efficient assessment of disease progression and regression. The ability of biomarkers to improve treatment and reduce health-care costs is potentially greater than in any other area of current medical research. For example, the American Society of Clinical Oncology estimates that routinely testing people with colon cancer for mutations in the"}
+{"text": "Numerous studies have been conducted in the West on the educational needs of minority students. These studies indicate that students from particular ethnic backgrounds have unsatisfactory educational experiences and various learning difficulties , 2. AlthThis paper investigates South Asian students\u2019 learning experiences and addresses issues of further studies and career preparation through understanding of their educational and vocational aspirations. Semi-structured interviews were carried out with Secondary 4 and 5 South Asian students in one designated and one non-designated school during April and May 2013.The results reveal the diversity of needs among South Asian students during learning. The majority of the South Asian students interviewed aspired to \u2018mainstream\u2019 education and occupations, but they were acutely aware of their inability to fulfill their ambitions. Students\u2019 emphasis on making themselves work harder in the pursuit of their aspirations testifies to the entrenched ideology of competitive individualism in local society. Because a limited number of affordable educational services target South Asian students at senior secondary level in the community, this calls for increased investment of the government on after school educational services for South Asian students across all levels of schooling. However, some interviewees were not aware of other educational choices except for mainstream secondary schools and universities.Educators should recognize that academic education is not the best for everyone. There are alternative education programs available for those who do not cope well in the mainstream educational path, and vocational education and training (VET) is a way to improve students\u2019 employability. Schools serving ethnic minority students are recommended to strengthen their career guidance services and make information and knowledge of VET more available to students and parents. These include technical and vocational programs targeting Secondary 3 and Secondary 6 transitions."}
+{"text": "High throughput technology makes it possible to monitor metabolites on different experiments and has been widely used to detect differences in metabolites in many areas of biomedical research. Mass spectrometry has become one of the main analytical technique for profiling a wide array of compounds in the biological samples. Extracting relevant biological information from large datasets is one of the challenges. Missing values in metabolomics datasets occur widely and can arise from different sources, including both technical and biological reasons. Mostly the missing value is substituted by the minimum value, and this substitute may lead to different results in the downstream analysis. Different methods tend to give different results. In this study we summarize the statistical analysis of metabolomics data with no missing values and with missing values. With the missing values, we compare the different methods and examine the outcomes based on each method.Analysis was done on 276 metabolites from 10 samples (12 metabolites excluded due to not detected in either group). 204 metabolites had complete information in all samples[Zero gave the least number of significant metabolites whereas Mean gave the most. 55 metabolites were uniquely identified by all methods in the volcano plot; 28 metabolites were similar across all methods.We have shown that the selection of imputation methods to replace MVs may have a dramatic impact on the data. The handling of missing values is an absolutely crucial step in the data pre-processing. Metabolites such as adenylosuccinate, caprylate (8:0) and N-acetylalanine are only detectible by a specific method and may be important in their specific metabolic pathways and so choosing an appropriate method is critical. Also PLS-DA FAD is important for only kNN in predicting the class membership whereas adenine and adenylosuccinate is important only for Zero and Mean Methods. In future studies we will further examine MVs and model an appropriate method such that the correct significant metabolites are captured."}
+{"text": "Peripheral odontogenic lesions are considered to be rare within the classification of odontogenic tumors. They share the same microscopic characteristics of their central counterparts. Here, we report an ulcerated mass of the maxillary gingiva that on histopathological examination was diagnosed as peripheral developing odontoma or peripheral ameloblastic fibroodontoma. The diagnosis of this tumor is challenging and may lead to unnecessary treatment. An 8-year-old healthy girl was referred to the pathology department for examination of an isolated and ulcerated soft tissue mass of the palatal gingiva in the region of right canine and deciduous first molar, measuring 0.8 \u00d7 0.8\u2009cm with unknown duration. There was no history of trauma to the area. The periapical radiograph did not show any intrabony lesion. The mass was excised under local anesthesia with clinical diagnosis of reactive soft tissue lesion most probably pyogenic granuloma (PG) or peripheral ossifying fibroma (POF). The cut surface of the lesion was creamy solid . On histOdontogenic neoplasms are categorized into peripheral and central. The relative frequency of peripheral odontogenic tumors is rare and there is no valid information of their frequency in the literature . SaghravOdontoma and ameloblastic fibroodontoma belong to mixed odontogenic tumors group and are composed of odontogenic epithelium and ectomesenchyme . Some auThe etiology of odontogenic tumors is indefinite and their source is the remnants of dental lamina that reside in the gingiva (rests of Serres) and develop lingually to those of the primary teeth . TherefoThe clinical presentation of this case was similar to PG and POF because of an ulcerated surface and the gingival involvement. In the case described by Kintarak et al. , focal fThe presence of dental tissue outside the alveolar process may be associated with ectopic neural crest cells that are still able to differentiate into tooth germ . It is dThe treatment choice is conservative surgical excision . RecurrePeripheral odontoma and peripheral ameloblastic fibroodontoma are exceedingly rare benign odontogenic lesions that are treated by conservative excision. The proper diagnosis of these lesions is necessary to avoid confusion with true neoplasms especially odontogenic tumors and prevent extensive surgery. Therefore, it is essential for oral pathologists to be familiar with clinical and microscopic characteristics of peripheral odontoma."}
+{"text": "Coxiella burnetii will rise.Q fever is a disease with worldwide distribution. The real number of patients with this disease is underestimated due to its nonspecific symptoms and because of the difficulties associated with serological diagnosis. Some of the patients diagnosed in the first stage with Q fever later develop chronic disease. Endocarditis is the most frequent and severe form of chronic Q fever. In the National Institute for Infectious Diseases \"Prof. Dr. Matei Bal\u015f\" the number of patients diagnosed with Q fever has significantly increased in the last few years. The number of cases from the first half of 2014 almost exceeded the whole number recorded in 2013. In these circumstances we expect that the number of cases of endocarditis with Coxiella burnetii).We retrospectively analyzed the patients diagnosed with Q fever with endocarditis in the Matei Bal\u015f Institute between 2011 and 2014. Of 89 patients with Q fever, 4 patients met the inclusion criteria (endocarditis plus serologic diagnosis of Coxiella burnetii by ELISA was used as screening test for the etiologic diagnostic that was confirmed by dosing phase I and II IgM and IgG antibodies. All patients initially received empiric therapy with association between betalactams and aminoglycosides. After the etiologic diagnosis was established, the patients were treated with doxycycline in association with ofloxacin/rifampin.All the patients were males with a median age of 58.25 years. All of them lived in urban area and were admitted for prolonged fever. Three out of four patients presented hepatitis with ALT elevation and cholestasis at admission. All blood cultures taken during hospitalization were negative. Endocarditis diagnosis was established after echographic evaluation. In three cases the aortic valve was affected while in the other case the aortic valve was impaired. Detection of IgM antibodies for Coxiella burnetii must be considered as a possible etiologic agent in case of endocarditis with negative blood cultures especially in the context of increasing numbers of patients diagnosed with Q fever. The association between fever, hepatitis and interstitial pneumonia must be an additional argument for considering chronic Q fever with endocardial impairment a possible diagnosis."}
+{"text": "Hospitals are the most costly operational and really important units of health system because they consume about 50%-89% of total health resources. Therefore efficient use of resources could help in saving and reallocating the financial and physical resources.The aim of this study was to obtain an overview of hospitals' performance status by applying different techniques, to compare similarities and differences between these methods and suggest the most comprehensive and practical method of appraisal for managers and policy makers.This is a cross sectional study conducted in all hospitals of Ahvaz during 2007 to 2011. Two kinds of data were collected through separate special checklists. Excel 2007 and Windeap 2.1 software were applied for data analysis.The present findings show that the average of bed occupancy rate (BOR) in the studied hospitals was about 65.91 \u00b1 1.16. The maximum number of inefficient hospitals in the present study happened in the years 2007, 2008 and 2010 but there were two hospitals in the third part of the present graph which had maximum level of efficiency and optimal level of productivity in the years 2007 and 2009. Data Envelopment Analysis (DEA) showed that the mean score of technical efficiency for the studied hospitals is 0.924 \u00b1 0.105 with the minimum of 0.585 \u00b1 0.905 for hospital number 1. Furthermore It shows that only five hospitals (31.25%) reach complete technical efficiency (TE) scores across all five years of 2007-11 (TE = 1).Results of the present and similar studies should be considered for the future planning and resource allocation of Iranian public hospitals. At the same time it is very important to consider need assessment results for each region according to its potentials, population under the coverage and other geographical and cultural indices. Furthermore because of potential limitations of each of the above models it is highly recommended to apply different methods of performance evaluation to reach a complete and real status view of the hospitals for future planning. Health is an absolute right of the all members of the society and health care sector is considered as one of the most significant service sections, so its indicators are considered as one of the main criteria developmental level and social welfare of any country . On the Hospitals are the most costly operational and really important units of health system because they consume about 50%-89% of total health resources . NationaRatio analysis as one of the non parametric technical-efficiency assessment methods, which includes the separate examination of various key measures such as average cost per inpatient day, bed occupancy rate, average length of stay, bed turnover ratio and so on . But as SFA is a parametric linear programming method that uses an integrated data set considering a special form of production function for assessing efficiency but because of some potential challenges, it is suggested to be used along with other techniques . DEA, a This study was conducted to present an overview of the efficiency of all hospitals in Ahvaz applying Pabon Lasso, DEA and Malmquist indicators to compare similarities and differences between the results obtained by these methods and suggest the most comprehensive and practical ones for managers and policy makers.This cross sectional study was conducted in all 16 hospitals of Ahvaz , Ahvaz, Iran during 2007 to 2011. All of them were specialized hospitals. Hospitals No. 1-8 were affiliated with the Jundishapur University of Medical Sciences in Ahvaz and the rest were nonaffiliated. Two kinds of data were collected through separate special checklists, one for indicators of Pabon Lasso and the other for assessing efficiency according to DEA and both were designed based on the research goals. Pabon lasso is a graphical model for demonstrating hospital performance using three indicators: bed occupancy rate (BOR), bed turnover (BTO) and average length of stay (ALS). This graph compartmentalizes the hospitals into four divisions: The first part stands for those hospitals with low BTO and BOR implying a surplus in hospital beds against the existing demand, however the second sector shows the hospitals with high BTO and low BOR which indicates unnecessary hospitalizations, an oversupply of beds, or using the hospital beds for simply observing patients. The third segment indicates those hospitals with high BTO and BOR that simply means an appropriate level of efficiency, with relatively few vacant beds at any time and finally the last category presents the low BTO and high BOR that may emerge because of admitting patients with chronic diseases or unnecessarily long ALS , bed turn over (BTO), and average length of stay (ALS). The items of these checklists were filled for each of the studied years. Data achieved from the first checklists, was analyzed using Excel 2007 according to Pabon lasso model for presenting the related graphs. Then, another checklist was designed for obtaining the necessary data in order to form an input \u2013 oriented DEA model. Variables were categorized as inputs and bed occupancy rate number of patients and number of operations were considered as outputs. The related data were collected from the statistic's center of the Jundishapur University of Medical Sciences and other hospitals for a total of 16 hospitals during 2007-2011. Windeap 2.1 software was applied for further analysis.Three determinant indicators constructing Pabon Lasso model are presented in In contrast, there were only two hospitals in the third part of the graph which stands for efficiency and optimal level of productivity in the years 2007 and 2009. This number has been increased to three hospitals in 2008 and 2010, and 4 hospitals in 2011 as fully efficient units. Another important finding of this graph is that most of the hospitals were located in the second and the forth zone during 2007 to 2011 which may be due to unnecessary hospitalizations, an oversupply of beds, using the hospital beds for simply observing patients (second zone) or admitting chronic patients with unnecessarily long ALS (forth zone). The aveBeing aware of the hospitals\u2019 performance and efficiency is one of the major concerns of health policy makers and health care manager\u2019, although applying a unique scientific technique for hospital performance evaluation, efficiency estimation and determination of the effective factors has not been achieved yet. All the above methods have their own restrictions alongside their strengths, for example despite DEA's advantages in calculating the relative and not absolute efficiency and incorporating multiple input and output factors and also determining optimum level of practice and performance targets , there aEven though Pabon Lasso gives an instant picture of the hospital, its related indices may be influenced by different factors that cannot be calculated applying this simple model . ConsideMoreover, the maximum number of inefficient hospitals in the present study belonged to the years 2007 and 2008 in contrast with another study on Ahvaz University of Medical Sciences hospitals demonstrating that two hospitals were situated in the first zone in the year 2009 . FurtherThese differences can be justified by the fact that the present study only included 16 hospitals in Ahvaz but Zahiri includedThis study like other studies performed in Iran showed that there was a surplus in the studied hospitals\u2019 inputs in the hospitals affiliated with the medical governmental universities . It is oThis finding are justified applying Malmquist index that showed hospital number 2 was presented as the best and hospital number 14 was achieved the worst performance level considering the rate of change in the productivity. So it is recommended to consider the the present results and results of similar studies for the future planning and resource allocation of hospitals. At the same time it is very important to consider need assessment results for each region according to its potentials, population under coverage and other geographical and cultural indices. Furthermore because of potential limitations of each of the above models it is highly recommended to apply different methods of performance evaluation together to reach a complete view of the real status of the hospitals for future planning."}
+{"text": "RSV is the main cause of childhood lower respiratory infections, globally, an important cause of childhood wheeze and may be responsible for a substantial burden of disease in the very elderly and in adults with chronic medical problems, such as COPD. It is thus responsible for substantial healthcare and social costs. There are currently many companies and academic groups developing and testing candidate vaccines and there is an expectation that these will lead to effective and safe vaccines which will be available to health systems globally in the short \u2013 medium term. Despite this, there is an incomplete understanding of RSV disease, especially in adult groups, and large scale data are only available from a few countries and settings leading to low levels of awareness of the importance of this pathogen. We discuss the need for widespread national sentinel systems of RSV surveillance and some means by which this could be achieved. These data will be needed by national policy makers and immunisation advisory groups to guide future priority setting and decision making. Journal of Global Health there is a short series of papers on respiratory syncytial virus infection (RSV). RSV is a major cause of morbidity and mortality worldwide and has been estimated to cause about 34 million episodes of acute lower respiratory infections (ALRI) in young children globally each year, with over 3 million severe enough to cause hospitalisation [In this issue of the lisation . These elisation .In 2015, the World Health Organization (WHO) Product Development for Vaccines Advisory Committee (PDVAC), which scans the horizon for likely important vaccine developments in the coming decade, highlighted RSV as \u201ca pathogen for which there is major vaccine pipeline activity, high technical feasibility, and major disease burden in low and middle income countries (LMICs)\u201d. They summarised the current status of vaccine research as of June 2014 , and thiCurrently, these developments are gaining momentum ahead of action to gather information to raise awareness and inform policy discussions globally. Although RSV disease accounts for very significant health care and social costs globally, there is a low level of recognition of this among government policy makers. Thus, to support these developments there is a need to assemble epidemiological data on RSV through national and other large scale surveillance systems. This could provide data on:\u2022 burden of RSV disease by age group, by key risk groups and by geographical setting;\u2022 RSV seasonality patterns across the world; and\u2022 RSV viral parameters such as subtypes and genotypes.They could also provide baseline data on hospitalisations from RSV ALRI against which the impact of a future vaccine could be assessed at national scale.RSV is not currently a notifiable disease and there are no well\u2013established ongoing surveillance systems in existence. A sophisticated Global Influenza Surveillance and Reporting System (GISRS) functions well with data from over 140 National Influenza Centres globally and with the sharing of over 1 million respiratory samples for influenza detection. The paper by Shi and colleagues in this edition of Journal of Global Health demonstrates that about 90% of ALRIs in children in which RSV is detected can be causally ascribed to RSV. Some of the GISRS sites conduct acute surveillance of Severe Acute Respiratory Infections (SARI) in all age groups and although case definitions and sampling procedures are designed to identify episodes of SARI due to influenza there is the potential to adapt this surveillance system to also identify episodes of ALRI due to RSV. Key issues to address in this adaptation would include the differing seasonal pattern of RSV, the different age pattern of RSV disease (with more emphasis on the first 2 years of life) and the differing clinical presentation of cases (with fever absent in up to 80% of cases in children) . Most seIt is not fully clear how the existing GISRS systems can best be adapted for RSV surveillance but this will at least require the development of separate case definitions and RSV\u2013specific standard operating procedures for identification of the target population, data collection, analysis and reporting. This will require specific study and the new scheme will need to be validated before wide adoption. The proposed global web\u2013based FLuMART platform for sharing epidemiological (FLuID) and virological (FluNet) data could serve as a base from which an RSV information and reporting system could be built. A major advantage of this approach would be the existing excellent linkages to national policy makers globally who already receive weekly reports from GISRS. These developments will need to be supported by RSV reference laboratories which can conduct external quality assurance of participating laboratories. It will be essential to ensure that this development does not degrade the quality, completeness or timeliness of data on influenza since the GISRS data represents a vital public health activity eg, in informing annual influenza vaccine composition and in pandemic preparedness. Thus, it would be prudent to start with pilot projects in a few countries in each global region supported by a few designated RSV reference laboratories and this is the approach currently being proposed by WHO .In high\u2013income countries, in addition to the approach noted above, other options could be feasible. These could include bespoke hospital\u2013based surveillance schemes focused on RSV or, as in Canada (in their Serious Outcomes Surveillance (SOS) and Immunization Monitoring Program ACTive (IMPACT) paediatric surveillance network ), be parReductions in mortality from childhood pneumonia have been the largest single contributor to global falls in post\u2013neonatal child mortality over the past decade and have been due to a variety of factors associated with socio\u2013economic development as well the introduction of new vaccine and other interventions. The development of effective new vaccines and other prevention strategies to tackle RSV have the potential to make major contributions to reducing severe disease and deaths from RSV in children globally. These developments may also have an important impact on cardio\u2013respiratory sequelae due to RSV associated with from the growing tide of non communicable diseases among middle aged and elderly adults globally. It is important that structured data gathering systems are put in place now to gather the essential data that will be required to provide a secure evidence base to guide national, regional and global policy decisions in the near future."}
+{"text": "The lack of vascularization in the tissue engineered bone results in poor survival and ossification. Tissue engineered bone can be wrapped in the soft tissue flaps which are rich in blood supply to complete the vascularization in vivo by microsurgical technique, and the surface of the bone graft can be invaded with new vascular network. The intrinsic vascularization can be induced via a blood vessel or an arteriovenous loop located centrally in the bone graft by microsurgical technique. The peripheral nerve especially peptidergic nerve has effect on the bone regeneration. The peptidergic nerve can be used to construct the neurotized tissue engineered bone by implanting the nerve fiber into the center of bone graft. Thus, constructing a highly vascularized and neurotized tissue engineered bone according with the theory of biomimetics has become a useful method for repairing the large bone defect. Many researchers have used the microsurgical techniques to enhance the vascularization and neurotization of tissue engineered bone and to get a better osteogenesis effect. This review aims to summarize the microsurgical techniques mostly used to construct the vascularized and neurotized tissue engineered bone. The seed cells such as bone marrow stem cells in the center of the bone graft will lack enough nutrition and finally die. The osteogenesis is influenced by the process of vascularization and this limits the clinical application of tissue engineered bone. Over the last few years, many researchers have used the microsurgical techniques to enhance the vascularization of tissue engineered bone and get a better reparative effect in bone defect [It is a big challenge for surgeons to repair the large bone defect caused by the trauma, infection, tumor, or other reasons. Autologous bone grafting is considered as the golden standard for the clinical treatment of bone defects \u20135, but te defect \u201310. Tisse defect \u201313. Besie defect . The pere defect \u201318. So ce defect \u201321. We aTissue flaps such as fascia flap, muscle flap, and peritoneum flap have rich blood supply and can be used as the vascular bed to enhance the vascularization of tissue engineered bone \u201324. BefoThere are several kinds of soft tissue flap that can be used to enhance the vascularization of tissue engineered bone. Fascia flap, muscle flap, and periosteum flap are the most commonly used to wrap the bone graft.Fascia flap has rich capillary network and excellent permeability as a most suitable soft tissue flap for enhancing the vascularization. Our group is the first to report the use of fascia flap to enhance the vascularization of tissue engineered bone in the large animal model of goat. We found that pedicled fascia flap could accelerate the revascularization and osteogenesis process of tissue engineered bone in large animal model . Liu et Muscle flap also has rich blood supply and is usually used to repair the soft tissue defect or infected wound in clinical patients. The latissimus dorsi muscle is the most commonly used to wrap the tissue engineered bone. Casabona implanted a porous hydroxyapatite ceramic scaffold with the human bone marrow stromal cells into the latissimus dorsi of athymic mice and found the presence of new spongious bone tissue . TerheydPeriosteum flap also has rich blood supply and can be used to induce bone regeneration. There are many reports about using the periosteum or cultured periosteal cells to enhance the osteogenesis and vascularization of tissue engineered bone \u201345. A vaAlthough tissue engineered bone grafts can be wrapped in the soft tissue flaps which are rich in blood supply to enhance the vascularization in vivo by microsurgical techniques, only the surface of bone graft can be invaded with new vascular networks and the pattern of the new blood vessels is random. The intrinsic vascularization of bone graft is still not achieved with this method of soft tissue flap wrapping.The intrinsic vascularization can be induced via a blood vessel located centrally in the bone graft by microsurgical technique. There are many reports about the use of the carotid artery, jugular vein, and saphenous vascular bundle in biomaterials resulting in splendid osteogenesis and vascularization of the bone grafts \u201350. SurgAlthough the method of embedding axial blood vessel is available for enhancing the intrinsic vascularization of tissue engineered bone, the clinical application may be limited by the length and anatomic location of blood vessel. So a new method of arteriovenous (AV) loop has been used to enhance the intrinsic vascularization. This AV loop has been proved to be superior compared to the axial blood vessel both in terms of neovascular density and capacity . This meLike autologous bone grafts, the new vascularized bone graft can be transferred to the bone defect site using the microsurgical techniques. This method of embedding blood vessel or AV loop will facilitate the clinical application of tissue engineered bone and offer new therapeutic strategies for reconstruction of large bone defects.Bone tissue is not only a highly vascularized tissue but also a highly neurotized tissue. By the anatomy study of the bone tissue, many researches have proved that there were dense and intimate networks of nerve in the bone tissue and the nerve networks had contact with bone cells \u201362. Our \u03b2-TCP scaffold to repair a 1.5\u2009cm femur defect in the rabbit. The values of bone mineral density and the neuropeptide were significantly higher in sensory nerve group compared with the motor never group and the blank group. But the ossification and nervalization effects of motor nerve group showed no significant difference compared with that of blank group [\u03b2-TCP scaffold. This method could make the neuropeptide, which was produced by the neurons, release from the distal end more easily, and it acted on the BMSCs via its receptors to regulate the metabolism of the bone.The ability of the peptidergic nerve fiber to regulate the function of osteoblasts and blood vessels can be used to construct the neurotized tissue engineered bone by embedding the nerve fiber into the center of bone graft \u201321. As wnk group . These rnk group . AlthougOur group also evaluated the different effects on the expression of calcitonin gene-related peptide (CGRP) and neuropeptide Y (NPY) between tissue engineered bone with blood vessel in vivo or with sensory nerve tract. We found implantation of blood vessel into tissue engineered bone could significantly improve the expressions of CGRP and NPY at the early 3 months compared with implantation of sensory tract into tissue-engineered bone, but the differences were not significant at 6 or 12 months postoperatively . We alsoAlthough sensory nerves can enhance the osteogenesis of tissue engineered bone, the neurocyte also needs the oxygen and nutrients. The neurotization of tissue engineered bone needs the vascularization as the preconditions. Masaki connected a silicone gel tube to the sciatic nerves of mice and then placed a small artery that was adjacent to the sciatic nerve into the silicone gel tube through a longitudinal incision to provide oxygen and nutrients to the regenerated nerve . The impThe lack of vascularization and neurotization within the tissue engineered bone results in poor ossification and limits the clinical application of tissue engineered bone. The vascularization of bone grafts can be promoted by soft tissue flap wrapping, blood vessel embedding, and arteriovenous loop embedding centrally in vivo by microsurgical techniques, but this method has the disadvantage of uncertain neurotization effect. The neurotization of bone grafts can be promoted by peptidergic nerve tract embedding centrally in vivo by microsurgical techniques, but this method also has the disadvantage of uncertain vascularization effect. So each method has the superiority and disadvantage. Combination of different methods will be necessary and useful to improve the reparative effect of tissue engineered bone in the large bone defect. We give the concept of constructing the highly vascularized and neurotized tissue engineered bone simultaneously by microsurgical techniques according with the theory of biomimetics. The microsurgical techniques will play a more and more important role in the development of bone tissue engineering and eventually achieve the wide clinical application of tissue engineered bone to repair the bone defect of patients."}
+{"text": "Large genomic segments spanning millions of nucleotides commonly differ between any two genomes, including between monozygotic twins are a prevalent type of SV that make up an extensive portion of genetic diversity. Katju and Bergthorsson contribuThe divergence of CNVs between populations may help identify candidate regions under selection. Bryk and Tautz tested tThe evolutionary and functional consequences of CNVs in livestock are an important area of research with economic relevance and are reviewed by Bickhart and Liu . The autFocusing on the evolutionary implications of SVs, Keane et al. review sGiven that SVs are important to consider when studying genetic diversity and genome evolution, as highlighted by the contributions to this research topic, improvements in SV detection and analysis should be a priority to better evaluate the impact of SVs. Most current methods are poor at defining breakpoints at a fine scale, making it difficult to determine the mechanism of SV formation\u2014an essential requirement for understanding the evolution of SVs. Moreover, the ability to accurately genotype SVs would allow a population genetic framework analysis that can make use of allele frequency changes to determine the evolutionary dynamics of SVs. Despite these limitations, essentially any organism can now be screened for SVs, which will lead to increasing our knowledge on the ecological and evolutionary implications of genomic SVs.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Student dietitians are often very interested in developing skills in the assessment and management of clients with eating disorders. This may be difficult; clients often decline student participation in their care due to the sensitive nature of their condition. Nourishing Networks, a self-directed health professional learning program, was developed to enhance clinician knowledge and management skills for individuals with disordered eating and assist with the formation of local networks of support. This program was adapted and piloted for dietetic students attending placement at the University of Newcastle Department of Rural Health Tamworth. The aim of the program was to enhance the students', knowledge and skills in the management of eating disorders. Students were offered the opportunity to participate in the 10 week program. Results showed all students furthered their knowledge, skills and attitudes towards eating disorders and were better able to determine appropriate treatment plans. This program allowed students to gain tools for working with clients that they would not otherwise be exposed to in their undergraduate degree and associated placements. Future plans include the presentation of an Eating Disorder Interprofessional Learning Module for nursing, medical and allied health students and subsequently offering this 10 week program to these students."}
+{"text": "Evolutionary forces shaped the molecular complexity of these natural products that contribute to the exquisite binding of these compounds to biological targets. Starting with the discovery of penicillin by Fleming, we have seen a rapid increase in the discovery and production of natural products and derivatives thereof as antibiotics and other drugs. But once the \u2018easy to access\u2019 bioactive compounds have been isolated, the drug discovery pipeline slowed down beginning in the 1990s. Pharmaceutical companies turned away from natural products as screening programmes led to the rediscovery of known structures and development of structurally complex natural products into drugs using synthetic methods proved to be challenging and too expensive if no reliable biological sources were available. Considering the urgent need for the development of new drugs to combat multidrug-resistant pathogens and overcome long-term side-effects and/or reduction in effectiveness of current drugs, unlocking nature's treasure trough of small-molecule chemodiversity will be crucial for next-generation drug development and from complex microbial ecosystems. Recent work has shown that metagenomic libraries from microbial ecosystems can be successfully arrayed and screened for large biosynthetic gene clusters of interest based on homology to conserved regions of known biosynthetic genes such non-ribosomal peptide synthases or polyketide synthases that can be grown in the lab will be crucial to develop algorithms for accurate structural annotation. High-resolution transcriptomics analysis of diverse species will enable the construction of gene co-expression networks built on physical distance to seed genes that are frequently associated with natural products biosynthetic pathways could be a means for the discovery of novel pathways and sequences for broader"}
+{"text": "In low-income countries, and particularly those in Africa, there are two important landscapes that have changed profoundly in recent years. One is the architecture of global health with its resulting increase in both the volume and complexity of health financing at country level. The second is the accelerating health transition in such countries where the past decade has witnessed declines in child mortality and increases in life expectancy at paces that have never been seen before in any period of history in any society. These health gains are not just a result of improving socio-economic development, but are consequent to important changes in health services and systems that have improved access to and coverage of several efficacious and cost effective essential health interventions funded in part by global health initiatives.The dynamics of this health transition naturally result in very different and continually changing patterns of risk factors and attendant burdens of disease. Unfortunately the improvements in health systems in such countries have not yet included the necessary changes in, or even development of, appropriate means of monitoring the dynamics of the disease and risk factor patterns on a routine basis suitable for forward planning and policy making that will adequately steer development of the future health systems needed to respond to these dynamics. We remain too dependent on burden of disease modelling based on intelligent, but not sufficiently empirical real time data at country level on disease and risk factor dynamics. This is particularly so for cause of death data of acceptable coverage and quality in low-income countries where premature mortality still constitutes the largest share of disease burden DALYs. At the same time, the share of burden constituted by disability is rising rapidly from a much more varied set of causes and risks which are also changing due to demographic transition and other evolving phenomenon such as urbanization and globalization. These dynamics will require very different health systems and policies.This presentation will discuss the need for linking three critical health information sources: 1) radical new approaches to routine longitudinal civil registration and vital statistics for disease burden monitoring, coupled with: 2) periodic national risk factor surveys that link to: 3) new approaches to monitoring district level health service coverage of services needed in response to the changing burdens and risks. Integrating across these data sources would provide the missing information strategy for evidence to feed more responsive health system planning and policy making needed for achieving universal health coverage."}
+{"text": "It is widely acknowledged that allopolyploidy via hybridization and genome doubling can easily lead to speciation, as polyploid hybrids can be immediately isolated from diploid parental taxa due to high levels of sterility caused by uneven numbers of chromosome complements in their progeny of either parent, given long term interaction between and adaptive evolution of flower characters of parental species and pollinators by attracting hummingbirds due to large red flowers, while I. hexagona is mainly pollinated by bumblebees due to blue flowers, although other isolation barriers such as habitat and environmental isolation are also present and Fundamental Research Funds for the Central Universities (15lgjc23).The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Sepsis is an important cause of mortality and morbidity for preterm and hospitalized newborn babies. Today, no single test satisfies the criteria as being the ideal marker for the early diagnosis of neonatal sepsis. Analysis of the entire metabolome is a promising method for determining metabolic variations correlated with sepsis -6.Works on metabolomics concerning sepsis conducted on animals and humans of different ages (newborn and adults) have recently been published and are presented in Table Present-day methods and procedures for the diagnosis of systemic neonatal infections are hindered by low sensitivity and long response times. Metabolomics is showing promise of becoming a most effective method, even in neonatology and paediatrics."}
+{"text": "In this context we define spatial analysis to mean Statistical Inference which takes into account spatial data, including but not limited to spatial exploratory data analysis. Groups in a Cluster randomised trial (CRT) are often defined geographically, giving spatial structure to the data. Taking account of the spatial aspects in the design and analysis of such a trial is important as it may influence results. In addition, the hierarchical structure imposed by the design should be adjusted for in the analysis. Therefore selecting software for spatial analysis of CRTs necessitates the capacity to accommodate for both spatial and clustering effects.The range of spatial software available is broad in focus and capabilities, with a plethora of options to choose from determining what tool to use is not necessarily straight forward. In the last decade due to rapid development of spatial methods in Statistical packages and the expansion of Statistical toolboxes in Geographical Information Systems there is substantial overlap in abilities.This review provides a comparison of current software options offering spatial analytical and visualisation techniques. First giving a brief account of the numerous cartographic visualisation tools, then focusing on what differentiates the capabilities of the analytical software. In regards to the latter we'll give special attention to multi-level modelling in both a Frequentist and Bayesian framework. Therefore demonstrating the flexibility of the options now available for the Analysis of CRTs taking into account spatial aspects."}
+{"text": "With advancing age venous wall thickness increases going along with a loss of elastic properties, the arterioles curl and capillary density decreases leading to a reduction of cross sectional area . Even inSo far no biomechanical model exists that investigates the influence of macroscopic and microscopic changes of cerebral blood vessels. That is why we put a model up for discussion that simulates vascular pressure propagation and enables the investigation of altered vascular properties in the context of NPH.A Matlab Simulink model was developed reproducing each vessel section by a distensible compartment. Therefore the cerebral vascular tree was divided into 13 sections from carotid artery to venous sinuses and the pulsatile carotid artery and sinus pressure were inputted as Fourier series. The cross sectional area was varied according to literature data and flow resistance was implemented taking into account the rheological characteristics of blood. The Windkessel function and relaxation properties of vascular walls were integrated by a Voigt model, enabling the variation of wall properties for each section individually. Due to the distensible vessel walls each section interacts with the CSF compartment and autoregulation was implemented by a simple proportional controller. After parameterisation mean pressure and pressure amplitude in the vessel sections showed good accordance with literature values .We have proposed a model of vascular dynamics that is able to identify the impact of altered vascular wall properties and structural changes. Furthermore the effect of different arterial and venous input pressure profiles can be analysed. These parameter analyses are part of our ongoing research."}
+{"text": "The images for Figs There is an error in the last sentence of the Deducing Parental Contributions of Alleles at CTCF BS6 subsection under Materials and Methods. The correct sentence is: Comparing these results allows each parental contribution to be deduced, see The panel labels for Figs The publisher apologizes for the errors."}
+{"text": "Psychoactive substance addiction presents a challenging public health issue worldwide particularly targeting vulnerable adolescent population are released at regular times by the National Medicines and Medicinal Devices Agency of Serbia in comparison to \u20ac9,450,094 back in 2004. This finding is wholly justified by previous findings on heavily increased anxiety levels among resident addicts in the former Yugoslav region compared to traditional EU-15 market economies (Jakovljevic et al., Although the situation appears to implicate an extensive public debate in this region, we should be aware of the fact that a large portion of reported consumption is clinically justified with basic mental illness. It would be highly difficult and demanding rigorous methodological approach to exactly identify the proportion of overutilization of these drugs that is attributed to abuse and addiction. Nevertheless, vast net quantity gains in consumed addictive medications in definite ATC groups by far surpass extended burden of associated psychiatric morbidity in recent years (Ristic-Ignjatovic et al., The abuse of potentially addictive medicines correlates with clinicians' decision making principles (Bendtsen et al., The underlying studies providing evidence for this contribution where funded out of The Ministry of Education Science and Technological Development of the Republic of Serbia Grant OI 175014. Publication of results was not contingent to Ministry's censorship or approval.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Children's Health Queensland, Child and Youth Mental Health Service (CHQ CYMHS) Family Based Eating Disorder Clinic is staffed by a multidisciplinary team trained in Family Based Treatment for Anorexia Nervosa (FBT-AN). A diverse range of families present to the clinic for treatment, including families where parents have separated and re-partnered to form reconstituted family groups with shared parenting arrangements. This is an increasingly common presentation to the Clinic regardless of child age, and presents unique challenges in the context of the Family Based Treatment Model. Whilst the Family Based Treatment Model does not focus on family etiological factors, the family unit is viewed as a crucial tool in facilitating recovery from Anorexia Nervosa and central to treatment strategies.This presentation will discuss how Family Based Treatment is undertaken in the Clinic with reconstituted families committed to shared parenting. Case examples will be used to demonstrate the innovative strategies utilised throughout the treatment process. The task of adhering to the principals of evidence based treatment whilst responding to specific challenges for families will be examined. Critical junctures in treatment which require careful attention in order to engage both family systems whilst creating a cohesive team will be explored.Service Initiatives: Child and Adolescent Refeeding and FBT stream of the 2014 ANZAED Conference.This abstract was presented in the"}
+{"text": "The right therapy for the right patient at the right time is the most important approach for the provision of proper health care. The field of rare diseases is an excellent example, with patients taking a more central role in the discovery and development of treatments for their disease. Limited budgets coupled with high failure rates of medicine development lead us to public-private partnerships as a model to move forward and reduce cost; no stakeholder alone has all knowledge and expertise.The newly founded BioPontis Alliance Rare Disease Foundation presents a scientific and economic partnership model designed to unleash the potential to find cures for rare (pediatric) diseases. The non-profit Foundation has developed an innovation joint venture business and scientific development structure to fill the gap between discovery science and the biomedical industry. The Foundation will establish scientific bridges across the discovery/preclinical development gap as a partner to independent academic and/or patient organizations to develop medicine candidates. The BioPontis Alliance Rare Disease Foundation intends to also establish a financial bridge between the cures \u2018push\u2019 of philanthropic resources and the commercial \u2018pull\u2019 of private sector.The Foundation will provide a professional drug discovery operation in which the necessary scientific expertise for each product/discovery initiative can be selected and applied to each program. It has a virtual network of contract research companies and academic institutes where development work can be conducted as well as bringing central project management and industry experienced managers to each initiative. With novel licensing practices, the Foundation financially honors the seeding contributions of originating scientists, their host institutions and/or the Patient organization partner. Licensing agreements have already been signed with over 12 leading US academic institutions/hospitals, offering the originators a pro rata share of revenues that are generated from the full intellectual property estate, thus removing many of the misalignments of interests in traditional licensing and sponsored research agreements. Focus on a single goal of creating potential treatments for patients is therefore assured across the BARD Foundation\u2019s model.The BARD Foundation is currently setting up financing and is seeking donations for its operations. While operating for a global patient community and market, we seek contacts with potential financial, scientific and patient organization partners in Europe and other parts of the world."}
+{"text": "Key to the clinical management of melanoma is the development of new diagnostic tools that predict individual patient prognosis and select from potential treatments those which may be effective. Identifying individual biomarkers in tumour cells to predict susceptibility to apoptotic cell death has thus far been largely unsuccessful, as apoptosis pathways show a high degree of signalling redundancy.DR_MOMP and ApopThe combined approach is found to outperform either individual model in predicting strong and weak responses to treatment with cell death inducing drugs.This work may provide a basis for the development of improved prediction tools for clinical treatment outcomes and treatment selection in melanoma."}
+{"text": "Critical Care, particularly the article by Gando and colleagues [We read with interest the recent issue of lleagues about thlleagues showed dlleagues and the lleagues may depeAlthough most patients were considered to be treated with ATT at the early stage of DIC in this study , those tSatoshi GandoWe appreciate the interest of Wada and colleagues in our recently published article studying the JAAM DIC scoring system in patients with severe sepsis . It is nATT: antithrombotic therapy; DIC: disseminated intravascular coagulation; ISTH: International Society of Thrombosis and Haemostasis; JAAM: Japanese Association for Acute Medicine.The authors declare that they have no competing interests."}
+{"text": "The presence of lymph node metastasis is a key prognostic factor in colorectal cancer and lymph node yield is an important parameter in assessing the quality of histopathology reporting of colorectal cancer excision specimens. This study assesses the trend in lymph node evaluation over time in a single institution and the relationship with the identification of lymph node positive tumours. It compares the lymph node yield of a contemporary dataset compiled from the histopathology reports of 2178 patients who underwent surgery for primary colorectal cancer between 2005 and 2012 with that of a historic dataset compiled from the histopathology reports of 1038 patients who underwent surgery for colorectal cancer at 5 yearly intervals from 1975 to 2000. The mean lymph node yield was 14.91 in 2005 rising to 21.38 in 2012. In 2012 92.9% of all cases had at least 12 lymph nodes examined. Comparison of the mean lymph node yield and proportion of Dukes C cases shows a significant increase in lymph node yield while there is no corresponding significant trend in the proportion of Dukes C cases . This study shows that there is increasing yield of lymph nodes from colorectal cancer excision specimens. However, this is not necessarily associated with an increase number of lymph node positive cancers. Further risk stratifying of colorectal cancer requires consideration of other pathological parameters especially the presence of extramural venous invasion and relevant biomarkers. Detection of metastasis in tumour-associated lymph nodes has a highly significant effect on prognosis in patients with colorectal cancer. All patients with one or more lymph nodes displaying metastasis are upstaged to Dukes C/stage 3 disease. This has important therapeutic consequences for a patient, as all these patients are considered for treatment with adjuvant chemotherapy. It is generally considered and accepted that examining more lymph nodes in a colorectal cancer excision specimen increases the likelihood of identifying involved lymph nodes and thus upstaging the cancer. However, recent studies have provided some contrary evidence. Data collected from the National Cancer Institute's Surveillance, Epidemiology, and End Results (SEER) database for 86,394 patients showed that while the number of lymph nodes being evaluated increased over time but that this did not significantly increase the detection of node positive cancers. These recent studies appear to contradict the hypothesis that examining more lymph nodes increases the detection rate of node positive disease. Nevertheless the studies by Parsons et al., Despite the variation in the published evidence, guidance and standards on lymph node yield have been introduced as a quality performance indicator for the histopathology reporting of colorectal cancer resections. Professional and regulatory bodies including The Royal College of Pathologists UK, Healthcare Improvement Scotland and American College of Pathologists have recommended the identification of a minimum number of lymph nodes from colorectal cancer resections as a standard and also as a quality performance indicator. This study assesses the trend in lymph node evaluation in a large cohort of over a thirty seven year period in a single centre and focuses on the trend in lymph node yield in comparison with the proportion of lymph node positive cases.This study included 3216 patients who had their colorectal cancer pathology reported by the Department of Pathology, Aberdeen Royal Infirmary from 1975\u20132012. The Department of Pathology at Aberdeen Royal Infirmary is the regional pathology centre serving three health authorities and four acute hospitals namely NHS Grampian , NHS Orkney and NHS Shetland . Approximately 75% of the total volume of colorectal cancer surgery is performed at Aberdeen Royal Infirmary. Relevant pathological data was extracted from the pathology reports of the resected colorectal cancer excision specimens and two databases were constructed.The first database was compiled using prospectively collected histopathological data from colorectal cancers resected between 2005 and 2012. The information recorded in this database includes age, gender, year of operation, administration of neoadjuvant therapy, whether the tumour was screen detected, tumour site, tumour differentiation, tumour (T) stage, extramural venous invasion (EMVI), total number of lymph nodes examined, number of lymph nodes involved by metastatic tumour, nodal (N) stage and Dukes stage. Information for each parameter was available for every patient. This database is referred to as the contemporary dataset and the distribution of cases in this series is shown in The second database was compiled retrospectively from cases of colorectal cancers identified by searching the Department of Pathology computer database using the search terms \u2018colon\u2019, \u2018rectum\u2019 and \u2018carcinoma\u2019. Histopathology reports of colorectal cancers excised at 5 yearly intervals 1975, 1980, 1985, 1990, 1995 and 2000 were identified and reviewed. Information on patient age and gender, tumour site, tumour differentiation, T stage, N stage, total number of lymph nodes examined, total number of lymph nodes involved and Dukes stage were extracted from these reports (when stated) and used to assemble the database. When not explicitly stated Dukes stage was inferred from the information stated in the histopathology report regarding the depth of tumour invasion and lymph node involvement. This database is referred to as the historic dataset and the distribution of cases is shown in Both databases were compiled in Excel 2007 and then imported into IBM SPSS version 21 for Windows 7\u2122 to perform data analysis. Linear trends for changes in lymph node yield and proportion of Dukes C cases with time were determined using Excel 2007 .The project was carried out using anonymised data and within the remit of ethics approval (ref. nos. 08/S0801/81) from the North of Scotland research ethics committee.The clinico-pathological parameters collected for the contemporary and historic datasets are summarised in The lymph node yield in the contemporary series of colorectal cancers is summarised in The frequency distribution of tumour stage in both the historic dataset and the contemporary dataset is shown in In the contemporary data set comparison of mean lymph node yield and proportion of Dukes C cases shows a highly significant year on year increase in lymph node yield in contrast there is no significant trend in Dukes cases . This is true both for all colorectal cancers and also when potential confounding factors are excluded from the analysis including administration of neoadjuvant therapy, bowel cancer screening detected cases . Figure This large study from a single centre assesses the trend in lymph node evaluation over a thirty seven year period. It utilises both a contemporary dataset and a historic dataset to compare the effect of time and recent advances in colorectal cancer treatment, screening and pathological reporting on lymph node yield and involvement. It examines in detail the effect lymph node yield has on the detection of lymph node positive disease and hence colorectal cancer staging. All the data has been compiled from one centre thus minimising potential data collection and reporting bias.Factors that influence lymph node yield include patient, surgeon oncologist and pathologist and in designing this study it was important to consider key confounding factors to allow meaningful comparison of data especially between the historic dataset and the contemporary dataset. Histopathological reporting of colorectal cancers has greatly improved over the last 15 years driven by the introduction of guidelines and datasets for the reporting of colorectal cancer excision specimens and the parallel requirement for high quality pathology reporting as adjuvant and neoadjuvant therapy became recognized and established therapeutic options in the treatment of colorectal cancer. One of the key quality parameter in colorectal cancer histopathology is lymph node yield. The current Royal College of Pathologists UK colorectal cancer dataset recommends a mean of 12 lymph nodes and Healthcare Improvement Scotland quality performance indicator for colorectal cancer pathology is that greater than 80% of colorectal cancers should have 12 or more lymph nodes identified. Our data from the historic database shows that from 1975 to 2000 there is a higher proportion of Dukes B tumours and a lower proportion of Dukes C tumours compared to the tumours excised between 2005 and 2012 and this reflects the low lymph node yield per case and supports the concept of understaging of colorectal cancers when there is a low yield of lymph nodes. However in the current data set while there is a significant trend to increase lymph node yield this has not been reflected in an increasing proportion of Dukes C cases even when the confounding factors of neoadjuvant therapy and bowel cancer screen detected cases have been excluded from the analysis. The reasons for this are not apparent and have been observed in other series. Age distribution and anatomical site distribution of tumours within the colon both of which are other potential confounding factors do not appear to have significantly altered with time. Over the period of time from 2005\u20132012 pre-operative staging protocols have also remained constant. This may suggest that there may be a threshold for lymph node yield above which there is marginal benefit in identifying further lymph nodes."}
+{"text": "Neocortex plays key role in diverse brain functions. Understanding this role involves the study of collective neural activity patterns under different situations, and how these patterns relate to the structural and functional organization of neocortex. Here we study the effect of synaptic plasticity on neural spiking activity patterns in a neocortical network model. We measure changes in neural spiking patterns due to changes in the strengths of the synapses connecting neurons and relate them to changes in the functional connectivity of the network as disclosed by graph-theoretic measures.Our neocortical network model was composed of excitatory and inhibitory neurons in the proportion of four excitatory cells for each inhibitory cell. Neurons were described by the Izhikevich model . The parWe determined a set of parameters for which the spiking activity generated in L4 by the external input propagated to the entire network. This network-wide activity was oscillatory, and we found that its mean frequency was higher for the network version with synaptic plasticity than for the version without synaptic plasticity. We also found that the formation of clusters of synchronous neural activity was facilitated in the case with LTS cells as inhibitory neurons. Our results suggest that synaptic plasticity may induce changes in the functional connectivity of the neocortical network with impact on its global activity."}
+{"text": "Percutaneous interventions for cardiac disease are on the increase worldwide. Acute complications of interventions include vessel dissection, total occlusion, thrombosis etc. Other than the complications associated with the disease process and the disturbances to the vascular endothelium mechanical complications due to mishandling of or mishaps with the device itself can occur. These complications, though rare do occur and the cardiac surgeon has to deal with them often on an emergency basis.To assess the safety and efficacy of emergent surgery in patients who develop device related complications of PCI.We present 4 patients with coronary artery disease who had complications during angiogram and attempted angioplasty/stenting. In 1 patients the stent was inappropriately deployed and the patient required urgent surgery for stent retrieval. In one the ring tip of the angiography catheter dislodged in the coronary artery requiring emergency surgery and in a further two patients the guide wire broke in the circulation and had to be retrieved along with coronary artery bypass graftingIn another group of 3 patients there was mishandling of the ASD device requiring urgent retrieval and ASD closure. Devices were\" lost\" in the LA, in the RA and the other in the Pulmonary arteryIn 1 patient undergoing device closure of PDA the device was deployed before proper positioning and was brought down to the femoral artery using a bronchoscopic biopsy forceps and then retrieved surgically. In a further patient a PDA coil was \"lost' in pulmonary artery, lodging in a small branch. The child underwent surgical closure of PDA. The coil could not be retrieved.In conclusion, urgent surgery is often required for device related complications of percutaneous devices. Surgery can be safely undertaken in these patients with gratifying results.Emergent surgery is lifesaving in patients with device related complications of PCI and can be safely carried out"}
+{"text": "Early phase trials of complex interventions currently focus on assessing the feasibility of a confirmatory RCT and on conducting pilot work. These trials are not designed to enable a formal assessment of potential efficacy. As a result, guidance recommends any statistical analysis of treatment effects conducted in these trials should be treated with extreme caution and not used in deciding if a confirmatory trial of the intervention is warranted. Phase II trial designs developed in the drug context offer a potential solution, providing methods for selecting sample size parameters for feasibility and pilot trials which will enable formal assessments of potential efficacy to be carried out. In this paper we will outline the challenges encountered in extending ideas developed in the phase II drug trial literature to the complex intervention setting. The prevalence of multiple endpoints and clustering of outcome data will be identified as important considerations, having implications for timely and robust determination of optimal sample size parameters. The potential for Bayesian methods to help to identify robust trial designs and optimal decision rules will also be explored."}
+{"text": "In this session I will review the clinical and imaging features of the most common pediatric bone and soft tissue sarcomas and several benign lesions that may mimic them. These malignancies often have unique features that can help narrow the differential diagnosis. The material will be presented in an informal manner and audience participation is encouraged. A review of the appropriate diagnostic work-up will also be presented, including the role of various imaging modalities to detect local-regional and distant metastatic disease. At the end of this session participants should be able to identify clinical features and imaging features that are suggestive of the correct diagnosis."}
+{"text": "The main factor related to gingival/periodontal problems in disabled individuals is the inadequacy of the plaque removal from the teeth. Motor coordination problems and muscular limitation in neuromuscularly disabled individuals along with the difficulty in understanding the importance of oral hygiene in mentally disabled individuals have resulted in the progression of inflammatory diseases.This report describes a case of cerebral palsy child who developed gingival hyperplasia due to poor oral hygiene practices which remarkably improved by proper motivation and adaptation of oral hygiene measures.It is important that the caretakers especially mother is informed about the importance of maintaining proper oral hygiene and the harmful effects of not doing so. It forms our duty to guide them towards maintaining good oral hygiene and thereby help in improving overall health of these children. There are no differences in prevention of the diseases and the treatment modalities between these groups. The main factor related to gingival/periodontal problems in disabled individuals is the inadequacy of the plaque removal from the teeth. Motor coordination problems and muscular limitation in neuromuscularly disabled individuals along with the difficulty in understanding the importance of oral hygiene in mentally disabled individuals have resulted in the progression of inflammatory diseases.6Handicap is the loss or limitation of opportunities to take part in the normal life of the community on an equal level with others due to physical and social barriers.The following report describes a case of cerebral palsy child who developed gingival hyperplasia due to poor oral hygiene practices which remarkably improved by proper motivation and adaptation of oral hygiene measures.A male patient aged 6 years reported to Department of Pedodontics and Preventive dentistry, VS Dental College and Hospital, Bengaluru. Patient\u2019s mother complained of severe bleeding from gums from past 1 week and inability of the child to eat. The child is known case of cerebral palsy with microcephaly and mental retardation with developmental age of only a few months . PatientOn intraoral examination, erythematous gingival overgrowth was noted on labial and palatal aspects of 54 and labiA detailed case history was taken and it was noted that the patients teeth were cleaned once daily by mother by wiping with a wet cloth. No brushing or use of any dentifrice was done from the beginning.Depending on clinical examination and based on the oral hygiene status of the patient, a provisional diagnosis of inflammatory gingival hyperplasia due to poor oral hygiene was obtained.Pediatric opinion on general state of patient was obtained and after performing all the necessary blood investigations, excision of hyperplastic gingiva in relation to 54 was planned and done under local anesthesia . The excMeanwhile, mother was educated regarding the importance of oral hygiene, method of brushing and other oral hygiene practices. Chlorhexidine mouth rinse was also advised and the surgical excision of the tissue in relation to 64 was deferred till the final diagnosis was obtained.The histopathological examination confirmed the diagnosis of inflammatory gingival hyperplasia secondary to poor oral hygiene status.Patient was recalled after 1 week for excision on the other side, i.e in relation to 64 but it was observed that there was spontaneous healing of the gingival tissues probably due to the oral hygiene measures adopted and 6. T7 Thus, poor oral hygiene is perhaps more prevalent among mentally retarded persons compared to other indi-viduals.8 Many studies have found an inverse relationship between the levels of mental retardation and oral hygiene status; the lower the IQ score, the higher the oral hygiene index score.910 The provision and/or supervision of oral hygiene by parents have been reported to be lower for disabled children than for nondisabled children.11 This may lead to various complications like gingival and periodontal diseases, dental caries thereby affecting the nutritional status of the child.Oral hygiene practices are voluntary physical activities that have at least two requirements: Motivation and manual dexterity.1213 and also the lack of parental education and motivation leads to the development of gingival and periodontal diseases which thereby affects the nutrition status of these children. In this case report, the parents were from low socioeconomic background and were unaware of the importance of oral hygiene practices. No oral hygiene measures were being used or have been used which can be accounted for the gingival hyperplasia.The mechanical control of dental plaque in disabled individuals generally causes some difficulties, is found to be time-consuming, and sometimes ineffective14 As a result, chemical plaque control has been recommended as an alternative and adjunc-tive to mechanical plaque control in these special patient groups.15 The effectiveness of chlorhexidine (CHX) have widely been investigated in various patient populations, including the disabled, and the results have led CHX to be defined as the \u201cgold standard.\u201d20 The combination of mechanical and chemical plaque control seemed to be even more beneficial than only using a mouthwash.2122Various studies have shown that the effectiveness of manual and electric toothbrushes is limited by the manual dexterity and skill of the user.In the present case, spontaneous healing of the gingival hyperplasia was noted in just 1 week after the adoption of chemical (CHX) and mechanical plaque control measures.Particularly the education and motivation of parents, especially mother can be considered to be the main factor for the adoption of oral hygiene measures and improved oral hygiene status of the patient.Oral health problems in mentally disabled children may be because of the parental belief of a reduced importance of oral health in comparison to the over all scheme of health management or maybe more time is devoted to assist these children in other daily activities which are seen to be more important compared to their nondisabled counterparts. It is important that the caretakers especially mother is informed about the importance of maintaining proper oral hygiene and the harmful effects of not doing so. It forms our duty to guide them towards maintaining good oral hygiene and thereby help in improving overall health of these children."}
+{"text": "Patient recruitment to clinical research is an important metric used to assess the effectiveness of research departments and decide resource allocation. The Mobile Workforce (MW) has been put in place to increase recruitment to haematology studies across the North Thames region.The NIHR North Thames division three has provided funding to employ a group of clinical trial practitioners and data managers. The team are employed by and based at large teaching hospitals and travel to other sites within the North Thames region to open and manage research studies with a high anticipated recruitment.The MW has recruited over 200 patients to research projects in its first year of operation. This has contributed to a rise in the North Thames LCRN's haematology recruitment from 512 in 2013-2014 to 851 in 2014-2015. The MW has encouraged senior clinicians to participate in research and has facilitated the set-up of new research projects. The MW has reduced the need for staff training and has allowed for greater flexibility in meeting staffing requirements.The MW has achieved a significant increase in study accrual during its first year. The MW has allowed previously unsupported sites to participate in research and has caused an increase in investigator interest in research. The NIHR seeks to replicate the approach across divisions and regions to provide an efficient and cost effective approach to study recruitment."}
+{"text": "Ever since the first hematopoietic cell transplantation (HCT) was performed in 1960s, thousands of studies have elucidated the impact of patient and donor factors on outcomes after the procedure. Fewer studies have looked at the role of center specific factors such as procedure volume, center experience or accreditation status in influencing the outcomes . MacroecIn this issue of EBioMedicine, Baldomero et al. present a retrospective population level analysis that examines the interplay of patient-, center- and country level factors on outcomes of allogeneic and autologous HCT using data from the European Society of Blood and Marrow Transplantation (EBMT) database . The autThe findings about the differential impact of macroeconomic factors on survival after autologous and allogeneic HCT are novel, but not surprising as these are two different types of procedures with different degree of medical complexity, risk and resource requirement. Even though the study is about HCT in Europe, it has wider implications. An important question it raises is \u2018if one size fits all?\u2019 for worldwide practice of HCT or for that matter, any expensive medical technology. Should the benchmarks for assessing the success of an expensive technology be different amongst different countries at diverse stages of socioeconomic development with different resource capacity ? The authors suggest streamlining and consolidation of the transplant activity to help maintain the quality of care and strengthening the overall health infrastructure to provide optimal pre- and post-HCT care. This proposition and a long term vision for the growth and sustainability of a transplant program may be more important for the poorer countries than the richer countries to help optimize the best utilization of the scarce resources. This is because the spending on health care especially on high cost medical technology is more likely to strain the government as well as individual household budgets in poorer countries as opposed to affluent countries. The bigger question is if the poorer countries should spend their limited resources to improve outcomes of expensive procedures that benefit only a few or focus on providing basic necessities and preventive care for a larger population?The authors highlight the role of professional medical societies worldwide in improving the quality of care and scaling up transplant systems through education and training that fit within the economic framework of individual countries across the globe. This will need to be supplemented with other measures such as international aid, advocacy efforts, partnerships and investment in research in the affluent countries to develop affordable technologies. Bidirectional knowledge transfer is important because the evolution of a technology developed in a richer country may follow a more cost-effective route when implemented in developing countries. This may provide an opportunity for the affluent countries to learn a less expensive way to do things as long as it doesn't impact short- and long-term outcomes . Finally"}
+{"text": "Over the past two decades finite element (FE) analysis has become a popular tool for researchers looking to simulate the biomechanics of the foot in people with diabetes. The ultimate aims of these simulations have been to improve understanding of the complicated nature of mechanical loading and to inform interventions designed to prevent plantar ulceration. This review is intended to provide a systematic review of these FE analysis based computational simulations.PUBMED, ScienceDirect and Web of Science databases were searched for relevant peer reviewed articles using the keywords \u201cdiabetic foot\u201d, \u201cfinite element\u201d and related synonyms. This review considered original research studies that utilised FE models of the foot or part of the foot to simulate function, tissue behaviour, or structural deformities associated with the diabetic foot. In addition, studies using FE to study footwear, insoles or surgical interventions intended to reduce ulceration risk in the diabetic foot were eligible for inclusion.Thirty relevant articles were found covering three primary themes: investigations of the characteristics of the diabetic foot (10 articles); design of interventions to reduce ulceration risk (17 articles); and methodological aspects for modeling the diabetic foot (3 articles). Several FE studies have provided estimates of external and internal soft tissue loading, and suggested that internal stresses may often be considerably larger than those measured at the plantar surface and are proportionally greater in the diabetic foot compared to controls. A series of results that inform the design of insoles, footwear and corrective surgery have been presented with the goal of defining the modes of action for these intervention strategies. FE analysis has also been applied to simulate the effect of changes associated with the diabetic foot on factors such as blood supply to local tissues.Existing models have not yet adequately captured the complexity of foot anatomy or the changes in tissue properties and structural factors associated with diabetes. Further work is required to improve the validity and credibility, of FE models and to standardize reporting. The development of patient-specific models is an extremely time-consuming process and reported run times are long. Progress in these areas is needed to ultimately move the technique beyond the research domain to allow it to become a clinically relevant tool at the patient level."}
+{"text": "To discuss the practicalities of setting up MRgFUS service for uterine fibroids and in particular the challenges of formulating an effective business plan in a time of financial austerity and curtailment of health service budgets.The authors, an interventional radiologist and a gynaecologist, have worked together closely for 10 years delivering a comprehensive service for the treatment of uterine fibroids in both the state and private health sectors. Despite recognising the clinical potential of MRgFUS and its undoubted appeal to patients we encountered difficulty in engaging any hospital partner to make the necessary capital investment.We describe the business planning process and arguments put forward to support our strategy. Close interdisciplinary working between specialities is fundamental to success as is the nurturing of links in both healthcare management and industry. Challenges include not only the capital costs of equipment purchase but also the opportunity cost of lost scanning time on MRI scanners also used for diagnostic imaging. The requirement for a particular make of MRI scanner can also hinder business plan progress due to manufacturer representation within a particular national market. Reluctance of both government health services and private health insurers to reimburse innovative treatments is a further hindrance to overcome.We share our experience of several unsuccessful and one ultimately successful bid to set up a service with a hospital partner and to provide MRgFUS as an addition to our repertoire of minimally invasive fibroid treatment options. We outline the ground work and business planning processes and arguments in terms of clinical quality, patient choice and health economics used to support our service development strategy.There are undoubtedly logistical and economic obstacles to overcome in setting up a new MRgFUS service but these are not insurmountable. With clarity of purpose, perseverance, an understanding of the health economic arguments and a level of persuasive skills these obstacles can be overcome."}
+{"text": "Medical education is tedious and takes both a physical and psychological toll on medical students. Stress could lead to burnout which research has shown that is prevalent among medical students and can lead to other significant dangers if it continues into residency and beyond . Aims: AInterviews and a self-administered anonymous survey of 55 final year medical students by a 2 part questionnaire assessing demographics and support system were carried out.35 final year medical students responded equating to a response rate of 76%. 54% were male mirroring class demographics. The majority (69%) were more than 25 years old and unmarried (89%). We observed that majority of students relied on family, friends and classmates for support when stressed and very few relied on mentors, faculty and school administration for support.The major support systems relied upon by the students has been identified and a void of support from mentors, faculty and school administration discovered. Further research for the cause of this might be helpful to distinguish between the lack of support provision or lack of use on the part of students. This is important as healthy support systems are necessary to cope with the stress ahead in the field of medical practice."}
+{"text": "Recent physiological studies revealed that the strength of the synaptic connections changes in a short period of time with short-term plasticity (STP) mechanism; these synapse is called dynamic synapse . The synIn the present study, we further explore the dynamical properties of the associative memory network with stochastic binary neuron model. Changes in the synaptic transmission efficacy can be modeled with variables that represent the releasable neurotransmitter and the utilization parameter reflecting the calcium concentration on presynaptic terminal. We drive the dynamical mean field model that allows to analyze detailed bifurcation structure of network dynamics of the stochastic model. We evaluate the memory retrieve performance with applying external input.In the associative memory network with dynamic synapses, the network shows variety of dynamical state including memory retrieved states and transitive states among the memory patterns."}
+{"text": "Batson\u2019s venous plexus is a system of paravertebral veins that connect pelvic and thoracic vessels to the intraspinal veins. It was first described in 1940 to explain a route for spread of metastases and infection that was separate to the lymphatic system. Its role in the retrograde venous spread of malignancy is now well-described, but not widely demonstrated on imaging.We present a detailed pictorial review of imaging of patients from our oncology centre showing retrograde venous spread to the paravertebral vessels specifically in cases of renal, rectal and breast carcinoma.We demonstrate expansion of the paravertebral vessels containing tumour and associated vertebral body metastases.We also review and illustrate the spinal venous anatomy.Radiologists should be aware of the implication of Batson\u2019s venous plexus as a route of metastatic dissemination. Our pictorial review highlights the importance of the paravertebral vessels as a review area."}
+{"text": "The human auditory brainstem faithfully represents the acoustic structure of sounds ? Assessing both young and aging amusic populations who speak tonal or non-tonal languages will shed further light on this issue. Longitudinal studies are also needed to elucidate the time course of the mechanism that sharpens or detunes the brainstem response and more clearly dissect the relative contribution of cortical structures in driving this type of plasticity.If limited exposure to music listening or making can have negative effects, this would support the idea that music has a role in rehabilitation and in education more generally. Recent studies suggest that music training accelerates neuro-development in children (Skoe and Kraus, In summary, the inherent plasticity of the auditory system primes it for being sensitive to the acoustic environment in a way that can either positively or negatively affect how sound is encoded subcortically. We believe that experience-dependent detuning of the auditory system may explain variations in auditory acuity in both typical and atypical populations, making it a topic ripe for future investigations.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "As human genomics moves into a mass-scale era, whereby millions of genome sequences will soon become available, new opportunities are opening up to use these very large samples better to understand the relationship between genotype and phenotype.A fundamental problem for such studies in the past has been lack of standardization in the description of the phenotypes used. Not only have disease concepts often been confused with phenotypes , but the concepts used have at times been vague approach, has been developed . It therefore provides an underpinning component for the computational study of genotype-phenotype relations in humans and model mammals. At the same time it provides a valuable set of terms and relations to facilitate more systematic annotation and searching of phenotype terms across human and model organism databases. This opens up exciting new opportunities for the unified analysis of human and mouse disease and phenotype data.An important addition to the armory of ontological frameworks that can be used to describe phenotypes is provided by Shimoyama et al. who descThe author declares that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Diabetic foot ulcers (DFU) are a leading cause of diabetes-related hospitalisation and can be costly to manage without access to appropriate expert care. Within Queensland and indeed across many parts of Australia, there is an inequality in accessing specialist services for individuals with DFU. Recent National Health and Medical Research Council (NHMRC) diabetic foot guidelines recommend remote expert consultation with digital imaging should be made available to people with DFU to improve their clinical outcomes. Telemedicine appears to show promise in improving access to diabetic foot specialist services; however diabetic foot telemedicine models to date have relied upon videoconferencing, store and forward technology and/or customised appliances to obtain digital imagery which all require either expensive infrastructure or a timed reply to the request for advice. Whilst mobile phone advice services have been used with success in general diabetes management and telehealth services have improved diabetic foot outcomes, the rapid emergence in the use of mobile phones has established a need to review the role that various forms of telemedicine play in the management of DFU. The aim of this paper is to review traditional telemedicine modalities that have been used in the management of DFU and to compare that to new and innovative technology that are emerging.Studies investigating the management of DFU using various forms of telemedicine interventions will be included in this review. They include the use of videoconferencing technology, hand held digital still photography purpose built imaging devices and mobile phone imagery. Electronic databases will be searched using broad MeSH terms and keywords that cover the intended area of interest.It is anticipated that the results of this narrative review will provide delegates of the 2015 Australasian Podiatry Conference an insight into the types of emerging innovative diagnostic telemedicine technologies in the management of DFU against the backdrop of traditional and evidence based modalities. It is anticipated that the findings will drive further research in the area of mobile phone imagery and innovation in the management of DFU."}
+{"text": "Dear editorMehta et al recently reported removal of dystrophic calcification on the posterior surface of a silicone intraocular lens (IOL) in a patient with asteroid hyalosis.We have recently tried unsuccessfully to use PPV to treat an 86 year old patient with calcification of a silicone IOL in the presence of asteroid hyalosis. We chose to avoid IOL exchange due to a history of Fuchs endothelial dystrophy and glaucoma in the left eye, and a failed corneal graft in a rubeotic eye on the right. Our patient did not have an intact posterior capsule having been treated with Nd:YAG capsulotomy 2 years previously, before the calcification occurred. A 25 gauge pars plana vitrectomy was performed after attempting to remove the deposits unsuccessfully from the posterior surface of the IOL with Nd:YAG laser. It was felt that PPV would be less likely to cause corneal decompensation than IOL exchange. In contrast to the experience of Mehta et alMehta et al reported that initially their patient underwent an unsuccessful Nd:YAG capsulotomy, however it was not made clear whether the posterior capsule remained intact.A similar case of this condition has been published recently by Ullman and Gupta.We believe that vitrectomy and surgical capsulectomy should be considered as an alternative to Nd:YAG capsulotomy where IOL calcification is not yet established. It is likely that opening a significantly calcified posterior capsule by Nd:YAG capsulotomy in the presence of asteroid hyalosis will lead to significant future IOL dystrophic calcification. In established calcification of a silicone IOL we feel that vitrectomy is of limited value and IOL exchange should remain the standard treatment. We appreciate Drs Rainsbury and Lochhead sharing their experience and insight into the treatment of dystrophic calcification of silicone intraocular lenses (IOL). As they point out, it intuitively makes sense that the presence or absence of a posterior capsule changes the natural history and management options of this pathologic calcification.In our case,In the setting of monocular patients (as in our case) or those with compromised capsular support (as in the case described by Drs Rainsbury and Lochhead), we believe it is reasonable to attempt vitrectomy prior to IOL exchange in these cases of dystrophic calcification. Though vitrectomy might not be successful in every case, removing the vitreous alone may make subsequent IOL exchange safer, and prevent recurrence of dystrophic calcification."}
+{"text": "Brain-computer interfaces (BCIs), or brain-machine interfaces (BMIs) involve real-time direct connections between the brain and a computer Kubler, . BidirecThe user of a BCI can execute an intention to perform a motor task through changes in the system caused by electrodes detecting signals in, for instance, the motor cortex mediating the intention. Success in operating the system depends on a combination of unconscious operant conditioning of brain responses and conscious goal-directed expectation of the subject. These depend in turn on how effective the practitioner is in training the subject how to operate the system. As in other cases of traumatic brain injury, goal-directed thinking in some patients with tetraplegia may be impaired if there is significant damage to neural networks in frontal regions mediating planning and decision-making. This may also impair the subject's capacity to understand the benefits and risks of the technique and give informed consent to participate in BCI research and treatment , electrodes are implanted epidurally or subdurally (Leuthardt et al., EEG- and fMRI-based BCIs might enable individuals to reliably communicate when they are unable to communicate behaviorally (Birbaumer et al., Some investigators have claimed that fMRI-guided BCIs could enable minimally conscious patients with a high level of cognitive function to make these decisions (Peterson et al., This last point may be overly optimistic. Even advanced BCIs that could detect neural activity correlating with complex semantic processing might not be sufficient to show that the subject had the cognitive and emotional capacity to make an informed and autonomous decision about life-sustaining treatment. Some form of behavioral interaction may be necessary to confirm that the subject had this capacity. Medical professionals and caregivers must be cautious not to read too much into BCI-enabled responses and interpret them as having a meaning they lack.BCIs can benefit individuals by restoring varying degrees of motor control and possibly the ability to communicate. But expectations of some subjects and their caregivers may exceed what they can reasonably achieve with the technology and result in psychological harm. Selecting candidates with higher levels of preserved cognitive function for BCI research and treatment and educating them on the potential benefits and limitations of the technique is advisable to prevent or at least minimize harm. The fact that a particular BCI system is more invasive than others does not imply that it has an unacceptable degree of risk and may instead indicate a more favorable benefit-risk ratio if it does more to enable the execution of intentions in actions and promote neuroplasticity. Perhaps the most significant application of BCIs would be in enabling minimally conscious or completely locked-in patients to communicate. Yet it is questionable that even the most sophisticated system alone could demonstrate that these subjects have the ability to clearly and meaningfully communicate their wishes and make informed decisions about life-sustaining treatment. Decision-making capacity falls along a continuum correlating with a continuum of cognitive and emotional capacities, and there is no algorithm providing a definitive answer to the question of where the threshold at which one has a sufficient degree of these capacities lies. All relevant parties need to be cautious and not infer that a BCI indicating certain levels of brain activity and semantic processing in a subject is evidence of an understanding of the ethical magnitude of life-and-death decisions and the ability to make them.The author declares that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Hierarchical processing is key to understanding vision. The visual system consists of hierarchically organized distinct anatomical areas functionally specialized for processing different aspects of a visual object is missing. The advent of optogenetics and neuroimaging has provided additional remarkable investigative tools. How these recent techniques will contribute to the prevailing arguments of feedforward and feedback projections in vision is still open. We hope this issue will inspire the readers and act as a catalyst for future work on the issues of feedforward and feedback processes in vision.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Pain perception is subject to powerful modulatory influences that can increase or reduce subjective responses in the short and long term. Nociceptive circuits can become sensitised causing both innocuous and noxious inputs to be amplified and their intensity and other sensory characteristics to be increased. Both central and peripheral mechanisms of sensitisation are recognised. Nociceptive mechanisms are immature at birth, undergoing both structural and functional change during normal development that can have important consequences for the maintenance, management and prognosis of chronic pain in children.The neurophysiology of pain in children will be briefly described with special reference to sensitisation in the context of non-inflammatory musculoskeletal pain and pain amplification syndromes. A mechanisms based approach to the medical management of chronic pain in children will be discussed.None declared."}
+{"text": "In the final version of our article entitled, \" Lessons from sexual and reproductive health voucher program design and function: a comprehensive review\" the authors inadvertently failed to acknowledge the role of International Union of Scientific Study of Population (IUSSP). IUSSP colleagues kindly reviewed early drafts of the manuscript presented at an IUSSP workshop in Bangkok August 2012 and had specifically requested that we recognize their feedback. We therefore feel obliged to acknowledge IUSSP."}
+{"text": "Diabetes is considered as a risk factor for atrial fibrillation and patients with a co morbidity of diabetes and atrial fibrillation have an increased risk of cardio-vascular complications like stroke. However, paroxysmal atrial fibrillation often is not recognized and therefore stroke is a frequent and severe complication of diabetes and atrial fibrillation. The objective of the study is a screening of patients with diabetes mellitus type 2 for atrial fibrillation and as a consequence an individually adjusted risk management regarding glucoses levels, anticoagulation and blood pressure.To detect atrial fibrillation ECGs of diabetes patients will be evaluated by an automated AF episode detection algorithm that already has proven superiority in the detection of atrial fibrillation. The software uses an algorithm that detects QRS complexes of the ECG data and then classifies them as being of atrial or ventricular origin and finally creates a list of R-R-intervals. To detect episodes of AF, the software performs a time series analysis of multiple mathematical parameters that are typical for an absolute arrhythmia during AF. Based on this analysis, the system creates a report on whether episodes of AF are present . The proThe study is expected to give detailed information on the increased prevalence of atrial fibrillation in patients with type 2 diabetes and provides the data base for an optimized therapy regime in order to avoid cardio-vascular complications.The detection of atrial fibilation as a major risk factor for cardio-vascular complications of diabetic patients will have to be improved. This strategy can be combined with other strategies of detection of complication risks and improve personalized treatment of diabetic patients."}
+{"text": "Dermatological conditions form a significant number of consultations seen by general practitioners on a daily basis. There is a lack of training and formal assessment of dermatology during medical school and we propose that there should be a mandatory component in OSCEs for dermatology during medical school to enhance one's diagnostic and clinical reasoning skills which will ultimately lead to better care for the patient and efficacious use of NHS resources. Dermatology forms an essential part of a medical student's specialty training. Inflammatory skin diseases and infective diseases are some of the most commonly encountered conditions in primary care; it is estimated that the prevalence of skin diseases in primary care setting is around 12.4% target sThere are many different forms of assessment used in medical schools throughout the United Kingdom. The most popular forms of assessment which have shown great validity in a medical student's performance as a competent and safe clinician are EMQs (extended matching questions), SBAs (single best answers), and the OSCEs . These forms of assessment have been widely adopted by many medical schools across the United Kingdom , 5. The Tomorrow's Doctors\u2019 provides a clear framework for medical schools to design curricula. The fact that there has been a lack of practical clinical examination for dermatology considering the vast number of cases presenting in general practice on a daily basis itself is a cause for concern and can have a significant impact on social and psychological wellbeing . The Gen concern .On the other hand, it could be argued that as most universities blueprint the quantity of questions going to be asked across all different types of examinations by the number of weeks of the specialty placement itself; it can be understandably difficult for examiners to test candidates in dermatology . At BartWe believe that practical training in dermatology should begin at an early stage in medical school, and that practical dermatological clinical examinations should be compulsory. It is paramount to implement the core skills required for a competent and confident diagnosis and management of dermatological problems leading to a better outcome for all patients and an effective use of the NHS resources . One of"}
+{"text": "Prevalence of allergenic plants varies by geographic region and climate, which affects the level of allergen exposure experienced by patients in different parts of the country. Because of these variations in exposure it is recommended that allergy practices use customized regional diagnostic panels based on the prevalence and significance of various aeroallergens. However, gathering this information can be difficult for new physicians. The purpose of these recommendations is to provide a foundation for new physicians to begin building a custom aeroallergen panel for all regions of Canada.Clinical, geographical and botanical references were evaluated and compiled to determine the prevalence and impact of various aeroallergens across Canada. These recommendations were discussed with regional allergy practices and other clinical authorities for consensus on recommendations.Aeroallergen recommendations were compiled into a prevalence map and table that was organized by the major geographic regions of Canada. Allergens were categorized as (1) high allergenicity & high prevalence, (2) high allergenicity & low prevalence, (3) low allergenicity & high prevalence, or (4) low allergenicity & low prevalence. A significant degree of allergen similarity across all regions was recognized although specific differences in species selection and general distribution patterns were identified for each region.Gathering clinical and botanical prevalence data for aeroallergens across different regions can be time consuming and difficult. These recommendations were compiled from many years of industry experience working with allergy specialists across the country and were verified by the literature. It is hoped that this knowledge can provide a foundation for new physicians trying to understand which aeroallergens to target for allergy diagnostic panels specific to their region."}
+{"text": "The arcOGEN Consortium should be listed as an author of this article. They contributed to the genome-wide association study results presented in this work. They should be listed in the author byline at position 292 and affiliated with The Arthritis Research UK Osteoarthritis Genetics Consortium. They should also be included in the footnote designating consortia which is underneath the author affiliation list in the PDF version of the article, and in the S2 Text(DOCX)Click here for additional data file."}
+{"text": "The rate of infection of health care workers in the recent Ebola Virus Disease (EVD) outbreak in West Africa, including Nigeria has shown that the disease can be transmitted and amplified in healthcare settings especially when infection prevention and control (IPC) procedures are ineffective or ignored.The aim of this study was to evaluate the level of infection control measures operating in health facilities in Rivers state as at the time of the Nigerian 2014 EVD outbreak.th and 11th 2014. Each response was scored between 0-3. An overall score of \u226575% was graded as good while <75% was poor. Data was analysed with SPSS Version 20. Ethical statement; this study was conducted during the outbreak of EVD in Nigeria as part of response activities by the members of the Ebola Emergency Operation Center.The descriptive cross sectional study was done in Rivers state one of the two states that experienced the EVD outbreak in Nigeria. Information on IPC materials and practices in health facilities in the state was collected using the Infection Control Assessment Tool (ICAT) between September 4Two tertiary, twenty four public secondary and sixty six private secondary health facilities were studied. Only one of the tertiary healthcare facilities had an IPC committee in place with a focal officer in charge. Only one hospital had an IPC policy which was not operational. None of the health facilities had a good score for both IPC materials availability and practice.Gaps existed in IPC in health facilities in Rivers State, Nigeria at the outbreak of EVD. It is recommended that appropriate policy for maintaining and sustaining infrastructure and supplies essential to IPC in health facilities be developed and implemented in all health facilities. Regular surveillance should be put in place to ensure that these items are always available, while hospital administrators and departmental heads must provide the necessary resources to facilitate compliance.None declared."}
+{"text": "Magnetic Resonance Imaging (MRI) and Computed Tomography (CT) scan are the two ubiquitous imaging sources that physicians use to diagnose patients with Cystic Fibrosis (CF) or any other Chronic Obstructive Pulmonary Disease (COPD). Unfortunately the cost constraints limit the frequent usage of these medical imaging procedures. In addition, even though both CT scan and MRI provide mesoscopic details of a lung, in order to obtain microscopic information a very high resolution is required. Neither MRI nor CT scans provide micro level information about the location of infection in a binary tree structure the binary tree structure of the human lung. In this paper we present an algorithm that enhances the current imaging results by providing estimated micro level information concerning the location of the infection. The estimate is based on a calculation of the distribution of possible mucus blockages consistent with available information using an offline Metropolis-Hastings algorithm in combination with a real-time interpolation scheme. When supplemented with growth rates for the pockets of mucus, the algorithm can also be used to estimate how lung functionality as manifested in spirometric tests will change in patients with CF or COPD. Patients with chronic obstructive pulmonary disease (COPD) or cystic fibrosis (CF) have chronic lung inflammation which causes airflow limitation and the scarring of lung tissues. Their airways are generally inflamed and produce excess amounts of mucus that impair the flow of air into and out of their lungs.Our hypothesis is that the scarring, and ultimate remodeling of a CF lung is mostly due to the contact between the lung lining and the mucus. Inflammatory cytokines induce scars in lung tissue Spirometry, the measurement of a patient's breathing, is the standard clinical tool for monitoring lung disease. The two most common spirometric indicators are the forced expiratory volume in one second, FEVMRI was first introduced as an alternative imaging tool for patients with CF in 1987 There have been research studies on mesoscopic modeling of Cystic Fibrosis one configuration is of this form. In fact, however, repeated MRI measurements separated by small challenges such as coughing or even just taking a few deep breaths reveal that mucus inside the lungs of CF patients show small but discernible movements in response to such challenges. Given this dynamic picture, the possibility that all of the configurations of mucus would avoid the configurations that can be realized the largest number of ways is extremely unlikely. We describe below how to construct such distributions that best represent the state of airways corresponding to the patients lung functionality test values , we first have to define how mucus is distributed in a voxel's binary tree structure. There is an astronomical number of configurations for filling a binary tree of 10 generations with a given amount of mucus. Approximately, it is given by Hence if a voxel contains In order to expedite the computational process; Dulcinea computing clusters from the Computational Science Research Center at San Diego State University were used for collecting almost 54 million samples. The Dulcinea computing clusters contains 12 workstations each with Dual-Quad Xeon central processing unit (CPU) (E5520 2.27GHz) and Dual Tesla graphic processing unit (GPU) (M1060) which provides the total of 96 CPU cores. The cluster system utilizes 3GB of memory per CPU core for nodes 1 to 10 and utilizes 6GB of memory per CPU core for nodes 11 and 12. After obtaining these samples the probability distributions for different amount of mucus are calculated. In order to spatially locate each bronchiole in a human airway tree we used Kitaoka et al.'s three-dimensional model At this stage we have mapped the voxels from imaging data into our model in a way that the total rate of airflow and the accessible alveoli of the lung model resemble the corresponding patient's FEVIn this section we use the mucus distribution and growth model presented in This method can even be applied to follow a patient's progress with out fewer imaging tests. Since most CF patients take spirometry test more often than any imaging tests, we can use our model without recourse to imaging data. This time the model takes only the FEVSince the mean mucus growth rate was estimated based on years of data from many CF patients, such predictions should work reasonably well for a patient between exacerbations. Our model can also be used to predict the progression during exacerbations, albeit with voxel specific growth rates informed by much more data than we currently possess. Using one mean mucus growth rate is a shortcoming not of our algorithm but rather of the paucity of data to which our predictions have been applied. There is every indication that soon we will have reasonable metagenomic We can improve the accuracy level of the model by extending the resolution of our PDFE-2D distributions. The current PDFEs were constructed with With current research studies about cystic fibrosis, CF treatment is poised for great strides. Non-genetic treatments such as Ivacaftor only works on patients with a certain mutation of cystic fibrosis which accounts for 4\u20135% of cystic fibrosis cases While an eventual cure for the disease by replacement of the defective gene is likely, we expect such treatment not to be available anytime soon. Rather we anticipate that new observational tools such as metagenomics, transcriptomics, metabolomics and MRI imaging coupled with our modeling approach will give the clinician unprecedented ability to follow and treat the disease. The models will provide quantitative predictions of responses to various drug regimens and prescribe adaptively implemented optimal controls for treatment. Predicting the impact of mucus growth on lung functionality will correlate the current stage of the disease with how infection has been propagating throughout different generations of lung. This will enable the physician with a tool to track this propagation of infection.The various sub-models required here will soon be informed by data characterizing the microbial communities present. Such data comes from metagenomic and transcriptomics analyses of sputum samples and metabolomic analyses of exhaled air. In our current model we predict the dynamic distribution of mucus in a CF lung in the absence of treatment as a stepping stone for eventually eventual treatment and microbial community specific modeling of the treatment response.According to a research study done by Willner et al. 3 for the size of one voxel was for illustration. Any resolution scale however forces estimation of the distribution on spatial scales below this resolution. Since estimation of the distribution on finer spatial scales would perforce need the solution of an inverse problem with many possible solutions and since the movement of mucus hinted that the \u201cright answer\u201d would in any case not be a unique distribution, we were led naturally to using Monte Carlo estimation methods for the most likely distribution and the corresponding spirometric observables. The resulting models and algorithms form a clinically useful tool with which to reassess the various simplest possible sub-models and assumptions used in our work so far. These models can play a crucial role in future treatments of the disease.Our methods are completely scalable \u2013 the 1.0 cmFile S1The supporting file Psudo.pdf contains the psudo code of the algorithms and models mentioned in this manuscript.(PDF)Click here for additional data file."}
+{"text": "The diuretic bumetanide failed to treat acute seizures due to hypoxic ischemic encephalopathy (HIE) in newborn babies and was associated with hearing loss (NEMO trial, Pressler et al., The diuretic bumetanide is one such drug that specifically blocks the NKCC1 chloride importer thereby reducing (Cl\u2212)I levels and restoring GABAergic inhibition in many neuronal types in physiological and pathological conditions. The recent failure of the NEMO trial aimed at treating seizures in newborn babies with bumetanide neurons GABA provides most of the inhibitory tone, in immature neurons it depolarizes and often excites due to higher levels of intracellular chloride ((Cl\u2212)I in immature and adult cochlear hair cells, and effects of hypoxic injury and toxicity of aminoglycosides that are aggravated by bumetanide I levels was found to be highly seizure history dependent. Bumetanide neither prevented the formation by recurrent seizures of an epileptogenic mirror focus nor efficiently reduced their generation I levels and attenuated electrical and behavioral parameters I levels and excitatory GABA I levels I levels notably oxytocin attenuate schizophrenia symptoms , striatal medium spiny neurons generated Giant GABAergic Currents that are readily blocked by L\u2013Dopa and lesions of the sub thalamic nucleus suggesting that they constitute relevant signatures of PD I levels in pain pathways I levels paving the way to a common therapeutic strategy to many disorders. Therefore, neither the severe side effects of bumetanide on the hearing system of newborn with hypoxic ischemic encephalopathy (HIE) nor its lack of efficacy in the NEMO study bear relevance to many other disorders. High (Cl\u2212)I levels and excitatory GABA play a fundamental role in the pathogenesis of many disorders, generating aberrant activities that perturb the operation of behaviorally relevant oscillations. Bumetanide and other drugs acting on chloride co-transporters can restore low (Cl\u2212)I levels in these disorders but may be contraindicated in newborns because chloride co-transporters are still operative.In several instances, encouraging preclinical data fail in clinical trials and the reasons for these failures are not always straightforward. They might also lead to the abandon of the animal model although heterogeneity of the clinical data might also be a factor. Yet, with bumetanide, the situation is of particular interest as the convergence of animal and human data is reinforced by a fundamental conceptual series of observations stressing the impact of a wide range of insults on (ClPD and EL contributed to the summary on Parkinson disease and autism respectively and YB performed the analysis of the literature and wrote the paper.Experimental work on autism of YB-A was financed by the Bettencourt-Schuller Foundation but grants rejected by the European Research Council. Clinical trials on autism were supported by the Simons Foundation but grants rejected by the Agence Nationale de Recherche.YB is CEO and share holder of Neurochlore 2 and B&A Therapeutics biotech companies dedicated to the development of treatments to autism and parkinson disease. EL and PD are respectively share holders of Neurochlore and B&A Therapeutics."}
+{"text": "Contemporary psychology does not question the existence of psychological processes that operate outside human conscious awareness, such as implicit stereotypes used different exposure durations of affective primes as operationalization of salience of affective stimulation. Confirming the predictions, the results showed assimilation effect when the exposure duration of primes was shorter\u20144 ms\u2014and the contrast effect, with the longer duration of 16 ms affective stimulation. Thus, the nature of nonconscious affective priming may be more complex that was originally assumed and may be mediated by automatic processes of implicit emotion regulation emotion regulation may appear automatically and modify the influence of affect on subsequent processes, as when we observe the contrast effect. This is one more argument for the substantial role of implicit processes in human life.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Health Logistics Association (HLA) is an association of logistics professionals committed to humanitarian logistics effectiveness by creating opportunities for dialogue and cooperative relationships with its members and partners to build a community of practice for advancing the humanitarian logistics profession through the promotion of cross organisational learning and collaboration. IAPHL is a professional association dedicated to improving public health supply chain management by promoting the professional development and recognition of those who work with health supplies.Under the Enhanced Learning & Research for Humanitarian Assistance professionalization umbrella, the HLA has joined an inter-agency project to define a framework and system for recognising relevant humanitarian logistics experience and training. Initial research will be required to ensure that any framework is relevant, inclusive and aligned with other initiatives. The project will build on training program achievements in the humanitarian logistics (and emergency nutrition) sector and support the emerging suite of competence based qualifications.Humanitarian assistance partners recognize the importance of effective humanitarian logisticians in the planning and delivery of aid. More humanitarian assistance professionals and academics see the need to hone specific competencies and skills for these programs so certifications build a portfolio of evidence. A key challenge is to ensure that individuals successfully completing these and other relevant qualifications gain the recognition they require from aid agencies. There is also a need to define a recognised career pathway within the sector with clear routes for progression. IAPHL is investigating professional certification requirements and seeks to learn from HLA\u2019s experience.The current system for recognizing knowledge and skills of humanitarian workers strongly favours international staff. Limited professional development funding for national staff is often wasted, as there is no accepted system to measure competencies or training effectiveness. A new system to capture, recognise and certify the skills, learning and development of aid workers is needed. It\u2019s proposed that an internationally recognized Learning and Development Passport for humanitarian logisticians be development, and extended to include other related sectors such as public health logisticians.Given HLA\u2019s experience, the next steps for professionalizing the humanitarian logistics workforce are to stimulate greater advocacy, buy-in, recognition and endorsement for certification in the mainstream. HLA\u2019s experience can be applied to other sectors like public health; IAPHL and PtD can build on and formalize the methods for professional certification and standards that have worked for HLA."}
+{"text": "Herpes Zoster also known as Shingles is an acute viral infection which is an extremely painful and incapacitating ailment. It results from the reactivation of the varicella zoster virus. The triggering factors for the onset of an attack of Herpes Zoster include some form of immunosuppression. The diagnosis of Herpes Zoster can be made on proper medical history and a thorough clinical examination. Here is the report of a male patient affected by Herpes Zoster infection which followed after extraction of a lower first molar. Herpes Zoster is a painful acute infectious viral disease caused due to the inflammation of dorsal root ganglia or extramedullary cranial nerve ganglia, leading to vesicular eruptions of the skin or mucous membrane in an area supplied by the affected nerve. The most commonly affected dermatomes are the thoracic (45%), cervical 23%), and trigeminal 15%) 3%, and tThe primary infection of varicella zoster virus (VZV) is the chicken pox and, due to the characteristic of latency of the herpes group of viruses, VZV gets reactivated to cause Herpes Zoster infection in later age.The incidence of latent Herpes Zoster increases 5\u201310-fold after the age of 80 years .A male patient of 49 years reported to the Department of Oral Medicine and Radiology, C.S.I. College of Dental Sciences and Research, with the chief complaint of pain and ulceration on left side of face and mouth for four days. Patient gave the history of extraction of the tooth 5 days ago after which multiple vesicles formed on the left side of the face and inside the mouth which made him uncomfortable while ingesting food. He had visited a dentist who diagnosed the condition as angioedema and prescribed antihistamines for three days but they did not alleviate any of the symptoms and the pain and ulcerations worsened. He did not have any relevant medical history. He is not a smoker but occasionally consumes alcohol.On examination, unilateral multiple vesicles with few of them ulcerated were found on the left side of the face and facial asymmetry due to diffuse swelling which extended superiorly to the upper eyelid was evident . On intrUlcerations were also evident on left buccal mucosa and alveolar mucosa in relation to 36 . The ulcPatient was subjected to few investigations to rule out any immunocompromised status. The hemogram and serum glucose levels were within normal limits. ELISA for HIV was negative. Patient was referred to a general physician for hydration and ophthalmic evaluation. A dose of antivirals and steroids which included Valacyclovir 1000\u2009mg 3 times a day and Prednisolone 20\u2009mg 3 times a day and topical acyclovir for 1 week was prescribed.The patient responded to antivirals and steroids well within a week and showed considerable healing. Patient was evaluated every week and steroids were tapered over four weeks and stopped. Gradual healing was observed in phases Figures .By fourth week the patient was seen only with scars on the left side of face Figures and 6.Systemic steroids could have prevented complications as it has been 3 months and the patient is apparently healthy at present.Herpes Zoster has an estimated life time incidence of 10\u201320% and gets reactivated with some form of immunosuppression. Herpes Zoster infection is common in elder persons, HIV-positive individuals, and patients affected by malignant blood dyscrasias or malignant tumours or undergoing immune suppressive therapy and radiotherapy .The most noted point of our case report was that there was no previous history of any herpetic simplex infection in childhood or recurrent herpes labialis in later stage. It is believed that the patient could have contracted chicken pox early in his life as the incidence of chicken pox in a tropical country like India is very high. Also the unilateral distribution of the erosions and the lesions pertaining only to the oral and maxillofacial region with involvement of ophthalmic, maxillary, and mandibular division of trigeminal nerve is suggestive of Herpes Zoster rather than a herpes simplex infection. The infection was triggered by a traumatic extraction of left mandibular lower first molar. El Hayderi et al. postulated that HSV reactivation occurs during surgical procedures involving trigeminal nerve in 50% of patients and an anaesthetic block may irritate the nerve leading to reactivation and recrudescence of herpes lesion , 7. ThisInvolvement of the second and third branches of the trigeminal nerve results in vesicular lesions in oral cavity. The vesicular lesions develop 2\u20134 days after prodromal period of fever, weakness, fatigue, and stiffness of the neck . Our patThe duration of healing of Herpes Zoster lesions and the severity of pain associated with the disease have been shown to be considerably less with prompt administration of antiviral agents. However these benefits have been found in patients who received antiviral agents within 72 hours after the onset of the rash . But ourThe early diagnosis of Herpes Zoster and prompt treatment can avoid further complications. Herpes infection following extractions has been reported very rarely. Herpes Zoster infection must also be considered as one of the complications after extraction. The patients must be asked to report to the dentist if there is any symptoms of the disease after extraction. The patient should be under medication and periodically reviewed. Misdiagnosis should be avoided as far as possible unlike this case where herpes infection was misdiagnosed as allergy."}
+{"text": "The superiority of the Intensive insulin regimen over the conventional split mix is very well established in Western centres, often considered a prelude to pump therapy. Developing countries find it a challenge to initiate Basal bolus therapy. The main problems include: lack of support systems in school environment to take up the injections and glucose monitoring at school, and difficulties in assessing carbohydrate content of native foods prepared at home (considering the variability in preparation of any given food item). The parental acceptance of five injections a day also remains a challenge. There are numerous extraneous influences and myths in minds of parents that discourage them from accepting this regimen. We present our experience in surmounting these challenges and establishing Intensive insulin therapy as a first line of insulin therapy and also share the advantages in terms of the glycemic control and growth of children on follow-up with us."}
+{"text": "Doctors are not short of advice about how to manage their patients. In the case of COPD (Chronic Obstructive Pulmonary Disease) there are a wealth of guidelines, strategies and position papers synthesising an increasing body of data from observational studies and clinical trials into schemes that should help the doctor care for their COPD patients more effectively. In recent years particular attention has been paid to the views of the joint ERS/ATS COPD guidelines and the 1/FVC ratio of 70% or less to support the diagnosis of COPD and suggest instead that the lower limit of normal (LLN) for this ratio is a more reliable guide. There might have been a little more advice for the busy clinician on the best way of accessing appropriate LLN data and perhaps a little more caution on the usefulness of bronchodilator testing in patient evaluation [Appropriately this new document takes a very wide view of the problems of COPD. It emphasises the need for early accurate diagnosis supported when needed but supplementary physiological investigations such as the measurement of lung volumes and airway responsiveness. It points out the limitations of relying on a fixed FEValuation . HoweverThe authors have avoided some of the controversy and uncertainty surrounding the new GOLD severity assessment scheme , insteadThis new approach to COPD care is needed in Italy now. As the authors point out, COPD remains a major health problem despite much good work to increase smoking cessation rates and improve air quality. International guidelines offer an overview of COPD care in all settings but there is still a need to develop management strategies which work locally and reflect the needs and perceptions of local physicians and patients. This new initiative has achieved both of these goals admirably."}
+{"text": "The impact of the chronic pelvic inflammatory state on other organ systems and women's health is unclear. Endometriosis associated chronic inflammation and potential adverse health effects across the lifespan render it imperative for renewed research vigor into the identification of novel biomarkers of disease and therapeutic options. Herein we propose a number of opportunities for research and development of new therapeutics to address the unmet needs in the treatment of endometriosis The causal relationship regarding which comes first may not be absolutely established but resewe must develop novel biomarkers of endometriosis for diagnosis, response to treatment, and disease progression;we must ascertain whether the chronic inflammatory process in the peritoneal compartment incurs a significant risk for other systemic (remote) diseases \u201318;we must strive to identify novel preventative, modulatory, or therapeutic interventions that can take advantage of cellular and molecular mechanisms to mitigate both the primary disease process and the consequent systemic inflammatory effects.No matter whether the disease etiology depends primarily upon the biomechanics of retrograde menstruation, sex hormone modulation of endometrial tissue proliferation, environmental exposures, genetics, oxidative stress, or inflammatory cell populations, we must address three key themes:A plethora of biochemical differences in the peripheral circulation, peritoneal fluid, and endometrial tissues of women with endometriosis versus healthy controls has been demonstrated \u201342 many Emerging areas of interest include nerve fiber density, microRNA (miRNA), and neurotrophins. Recent studies report the fact that nerve fiber density in the functional layer of the eutopic endometrium is greater in women with endometriosis compared to controls , 72. AltSeveral recent studies have documented aberrant expression of several different miRNAs in women with endometriosis \u201382. miRNProspects for development of improved diagnostic and disease-monitoring strategies for endometriosis have recently been advanced by the efforts of a major international research consortium, the international \u201cWERF EPHect\u201d initiative \u201388. In tContemporary biomarker techniques are begi per se and systemic adverse effects with durability will mean either long-term continuing usage or repetitive episodic usage with convincing evidence of patient safety and tolerability. Accordingly investigators in this field need to consider the prospects for patient safety with chronic usage of any candidate agents along with evidence of efficacy and reduction in risks of other diseases associated with chronic inflammation [Current therapeutic drugs are primarily directed at suppressing the intraperitoneal activity of the underlying disease. As is the case for other chronic diseases, future novel therapeutics for endometriosis will need to be developed to treat the primary intraperitoneal process , the potammation . Whetherammation or in teammation aimed atBeyond the current set of hormonal and anti-inflammatory drugs used to treat endometriosis, what classes of compounds might be safe and effective in the sustained management of this chronic inflammatory process? A modest number of ideas have been suggested by various investigators and we shall consider them plus one new idea that we propose from some recent research in continuous ambulatory peritoneal dialysis (CAPD).Several classes of compounds have bee\u03b1 in peritoneal fluid [The second group of compounds that merit research and development for potential application in endometriosis may potentially mitigate both the intraperitoneal and the systemic inflammatory consequences of endometriosis , 34\u201339. al fluid . Finallyal fluid and sincIt is our view that there are ample opportunities to pursue research regarding the impact of endometriosis across the lifespan and to pursue development of a number of therapeutics that could plausibly be expected to be both safe and beneficial for women suffering with this disease. This is not an argument for taking our eye off the prize meaning endometriosis as the primary disease; rather we owe it to each of our patients to consider all of the impacts at all times in life that this disease may incur. We urge deeper and broader understanding of such risks and pursuit of safe and effective interventions for the care of our patients."}
+{"text": "From February 2012 a multidisciplinary group in a 600 bed tertiary public hospital in Western Australia have worked collaboratively to improve the care of adult patients admitted to an acute medical ward with complications of severe eating disordersThis clinical care journey has gone on to inform a program of staff development and strategic advocacy for a state wide approach to the care of adults with eating disorders.Via demonstration of parallel journeys of patients, staff and the state wide strategy, the authors have identified areas of unmet need, gaps in resourcing and barriers to improving care from a local context.This multidisciplinary collaborative process has now informed a business case for a comprehensive specialist eating disorders service for youths and adults in Western Australia's public health service.Service Initiatives stream of the 2014 ANZAED Conference.This abstract was presented in the"}
+{"text": "An effective capacity building process for healthcare workers is required for the delivery of quality health care services. Work-based training can be applied for the capacity building of health care workers while causing minimum disruption to service delivery within health facilities. In 2012, clinical mentoring was introduced into the Jigawa State Health System through collaboration between the Jigawa State Ministry of Health and the Partnership for Transforming Health Systems Phase 2 (PATHS2). This study evaluates the perceptions of different stakeholders about clinical mentoring as a strategy for improving maternal, newborn and child health service delivery in Jigawa State, northern Nigeria.Interviews were conducted in February 2013 with different stakeholders within Jigawa State in Northern Nigeria. There were semi-structured interviews with 33 mentored health care workers as well as the health facility departmental heads for Obstetrics and Pediatrics in the selected clinical mentoring health facilities. In-depth interviews were also conducted with the clinical mentors and two senior government health officials working within the Jigawa State Ministry of Health. The qualitative data were audio-recorded; transcribed and thematically analysed.The study findings suggest that clinical mentoring improved service delivery within the clinical mentoring health facilities. Significant improvements in the professional capacity of mentored health workers were observed by clinical mentors, heads of departments and the mentored health workers. Best practices were introduced with the support of the clinical mentors such as appropriate baseline investigations for pediatric patients, the use of magnesium sulphate and misoprostol for the management of eclampsia and post-partum hemorrhage respectively. Government health officials indicate that clinical mentoring has led to more emphasis on the need for the provision of better quality health services.Stakeholders report that the introduction of clinical mentoring into the Jigawa State health system gave rise to an improved capacity of the mentored health care workers to deliver better quality maternal, newborn and child health services. It is anticipated that with a scale up of clinical mentoring, health outcomes will also significantly improve across northern Nigeria. Increasing the number of skilled health workers to provide quality health services is a key health systems strengthening objective . Within classroom training [Within clinical practice in particular, work based training is a key part of professional development which has the capacity to develop health care workers in ways quite different from, but complementary to formal training . The keytraining ,9. Clinitraining ,11. Clintraining . A typictraining .Nigeria has an estimated population of over 140 million people . Howevercontinuous professional capacity development to effectively provide the right quality of healthcare services to improve maternal, newborn and child health outcomes. It was hypothesized that the implementation of clinical mentoring would assist in addressing the prevailing challenges to maternal, newborn and child healthcare service delivery within northern Nigeria. The objective of this study was to elicit the perceptions of stakeholders about clinical mentoring and its potential for improving maternal, newborn and child health service delivery within Jigawa State in northern Nigeria. The study highlights some successes as well as some challenges associated with the implementation of clinical mentoring within the context of the Jigawa State health care system.There is considerable evidence that work-based training approaches such as clinical mentoring has been successfully utilized to transfer knowledge and skills in several fields such as management of HIV/AIDS , neonataJigawa State is within the north western part of Nigeria and consists of 27 Local Government Areas . Accordiwere randomly selected and recruited to participate in clinical mentoring from different cadres of health workers that routinely work in the five selected health facilities in Jigawa State health workers to be mentored were recruited through purposive sampling from tertiary health facilities i.e. the teaching hospitals and were allowed to travel from their places of primary assignment to the clinical mentoring health facilities. The clinical mentoring intervention involves collaboration between the Jigawa State Ministry of Health and the Partnership for Transforming Health Systems Phase 2 (PATHS2) which provides support for the allowances of the clinical mentors. PATHS2 is a health systems strengthening project sponsored by United Kingdom\u2019s Department for International Development (DFID) and implemented by a consortium of partners led by Abt Associates. PATHS2 works in collaboration with the Government of Nigeria and other stakeholders to improve the planning, financing and delivery of sustainable health services to Nigerians.The clinical mentors were identified through the professional network of PATHS2\u2019s consultant on clinical mentoring. The clinical mentors work full time at teaching hospitals in the surrounding States of Kano and Bauchi States. These clinical mentors Each of the different subgroups of study participants were identified as stakeholders in the implementation of clinical mentoring and regarded as key informants for the study. In February 2013, interviews by the study team (led by the first two authors of this paper) were conducted with the stakeholders of the clinical mentoring intervention in Jigawa State. The interviews were documented using tape recorders. The qualitative data were transcribed, a pre-determined coding framework was applied and subsequently thematic analyses of the data were undertaken. Members of the study team who were involved during the data collection process also provided assistance in identifying relevant themes. Regular meetings were held by the study team in order to reach consensus on the interpretation of the data collected during the interviews.A qualitative approach was adopted for this study so as to provide detailed information and sufficiently elicit the opinions, experiences as well as perceptions of the different stakeholders with respect to the clinical mentoring intervention as opposed to a quantitative approach. The expectation of the study team was that any connections or contradictions between activities and perceived changes arising from the implementation of clinical mentoring will be adequately highlighted using a largely qualitative methodology.or otherwise of the clinical mentoring intervention within the context of the State-wide health system. The Jigawa State Government health officials were asked questions about the most challenging areas within the Jigawa State health system and how clinical mentoring has helped to address these challenges. Other questions were intended to assess the key lessons learnt, best practices, specific improvements that have been recorded as well as recommendations to improve the implementation of clinical mentoring within the State. The study team also organized structured interviews with the mentored health workers. The structured interviews included questions on the perceived effect/impact of clinical mentoring on health facility activities were carried out using semi-structured interview guides to elicit their opinions and experiences vis-\u00e0-vis the implementation of clinical mentoring within the intervention health facilities. The interview questions for the departmental in-charges sought to obtain information about the activities carried out by the clinical mentors during their visits, benefits of clinical mentoring to the health facility and any improvements observed due to the implementation of clinical mentoring within the intervention health facilities. There were also in-depth interviews with Jigawa State Government health officials to get their perspectives on the effectiveness Ethical clearance for the study was obtained from the Jigawa State Ministry of Health. In addition, informed consent was obtained from all the study respondents before the interviews commenced. The verbal consent of the study respondents were documented using tape recorders. The objective of the study, respondents\u2019 right to refuse participation and freedom to terminate participation in the study at any time was discussed with each study participant. Study respondents were assured of the confidentiality of their responses.i.Inadequate numbers and capacity of the health workforce to provide adequate health care services to the State\u2019s population.ii.Lack of skilled health care professionals and inadequate training of the health workers within the State.iii.Attrition of key healthcare workers, including doctors and midwives.Two senior level healthcare officials of the Jigawa State Ministry of Health were interviewed as part of the evaluation of the clinical mentoring intervention within selected health facilities in Jigawa State. Government officials acknowledge that the human resources for health system within the State have multifarious challenges, including but not limited to the following:\u201c\u2026perhaps a key outcome of the implementation of clinical mentoring will be that Jigawa State better understands other ways to tackle the human resources for health situation and improve healthcare service delivery.\u201dWith the introduction of clinical mentoring visits, some of these challenges are being addressed as there appears to be an increase in the number of better trained health professionals providing health services to patients. These improved professional healthcare services have been provided through the expertise and contributions of the clinical mentors. The Gunduma Health System officials indicated that one of the key lessons learnt from the implementation of the clinical mentoring programme was the increased focus the mentoring visits have given to maternal, newborn and child health issues within the health care delivery system of the State. It was also reported that the clinical mentoring intervention has increased awareness about the need to explore other innovative approaches/strategies to address the critical health workers\u2019 situation within Jigawa State. A Gunduma health official remarked:Highlighting some challenges however, the Gunduma healthcare officials pointed out that the current approach whereby the clinical mentors visit health facilities, provide services and travel back on the same day naturally limits the time spent providing services and this invariably affects the quality of healthcare services provided. The financial implication of retaining and recruiting more clinical mentors is also a serious challenge and Jigawa State needs to make adequate budgetary allocations to address this challenge.\u201cThe main suggestion I have is on integrating clinical mentoring into the district health system within the State so that it works through an existing system.\u201dThe key suggestion from the Gunduma health systems officials is that clinical mentoring needs to be effectively integrated into the existing district health system within the State. This integration it was argued would ensure sustainability, greater ownership by the State government and could potentially give rise to more benefits to the State\u2019s health system. In connection with this suggestion, a Gunduma health official remarked:It was proposed that adequate temporary accommodation should be provided to enable clinical mentors to follow up on some cases as maybe appropriate. It was also argued that with the perceived increase in patient flow within the mentoring health centres, clinical mentors should spend more visiting hours and days providing services within their assigned health facilities or more clinical mentors should be recruited. Jigawa State needs to have a long term plan of developing a pool of consultants to sustain the clinical mentoring programme.\u201c\u2026my capacity has been built and I have gained in experience.\u201dThirty three (33) mentored health workers recruited across the five selected health facilities were interviewed as part of the study. Table\u00a0\u201cWe as mentors have introduced clinical protocols to guide the health workers in the conduct of their work e.g. protocols for magnesium sulphate, management of post-partum hemorrhage, and the management of the third stage of labour\u2026\u201dThe three obstetrics clinical mentors recruited into the clinical mentoring intervention were interviewed as part of the study. The obstetrics clinical mentors indicated that the preliminary assessment which was carried out at the start of the clinical mentoring intervention provided guidance and thus assisted in identifying weaknesses as well as specific areas for improvement among health workers working within the obstetrics department. Significant changes arising from the clinical mentoring intervention include updated treatment guidelines on basic emergency obstetric health care, pre-eclampsia and eclampsia, post-partum hemorrhage as well as the management of the third stage of labour. An obstetrics clinical mentor remarked:Clinical mentors report that as a result of the mentoring visits, infection prevention practices have been introduced into the health facilities where they visit. Such emphasis on infection prevention will tend to minimize the possibility of patients picking up \u2018hospital-based infections\u2019 while visiting the clinical mentoring health facilities.\u201cIn health facilities in which we visit, we have developed and introduced treatment protocols, some of which are on the notice boards in some wards\u2026\u201dThe three pediatrics clinical mentors participated in interviews as part of the evaluation of the clinical mentoring intervention. The pediatrics clinical mentors indicated that standard treatment guidelines for the management of different pediatric cases have been introduced following the mentoring visits. A pediatric clinical mentor enthused:\u201cWe have introduced the use of nasogastric (NG) tubes for feeding pediatric patients with severe malnutrition\u201d.There are other significant changes attributable to clinical mentoring as highlighted by a pediatric clinical mentor:\u201cThe practice of weighing pediatric patients during each visit which was not the case before the start of the clinical mentoring intervention has also been introduced\u201d.Another pediatric clinical mentor pointed out:\u201cWe have made significant efforts within the mentoring centers to ensure that weighing scales were acquired for use within the pediatrics department\u201d.This approach of measuring pediatric patients during each visit has most likely given rise to the appropriate calculation of dosages for pediatric patients in addition to effective growth monitoring as part of best practices towards managing pediatric cases. A pediatric clinical mentor indicated:\u201cA good part of the mentoring visits for me is seeing the improvement in the mentee\u2019s knowledge, skills and confidence\u2026\u201dGreater emphasis has also been placed on better record keeping by the health care workers. Alluding to the changes arising from the mentoring visits, a pediatrics clinical mentor remarked:to assign one mentor to cover a health facility and not one mentor covering more than one health facility as is currently the case. This will ensure that the clinical mentor concentrates on the cases and health workers to be mentored in just one assigned health facility. Another suggestion was that temporary accommodation should be provided for the clinical mentors to allow the mentors follow up on cases when and where necessary. The current set-up whereby mentors travel from their primary location, provide services and have to travel back the same day limits the quality and quantity of care provided to patients. It is also not advantageous to the patients who may need further monitoring such as those that have had surgeries.As a way to improve the effectiveness of clinical mentoring, a clinical mentor suggested that it would be more appropriate \u201cThere is need to create more opportunities and sensitize community leaders in the surrounding communities while also liaising with the health facility in-charges to assist in mobilizing community members so as to better utilize the expertise and services offered by the clinical mentors.\u201dIt was proposed that payment incentives could be introduced to increase the motivation of the clinical mentors. Furthermore, it was recommended that the benefits of the mentoring visits should be extended beyond the health workers in the mentoring centres, such that health workers working in surrounding health facilities could be invited on the days that the consultants visit to learn alongside the health workers in the mentoring centres. In addition, there should be proper community mobilization such that the communities within the catchment areas of the health facilities should be enlightened about the visit of the consultants to ensure that a larger proportion of community members access and utilize the services of the visiting consultants. A clinical mentor remarked:\u201cThe clinical mentors are responsible for the introduction of the use of magnesium sulphate as the standard treatment for pre-eclampsia and eclampsia within the intervention health facilities.\u201dHealthcare workers in-charge of obstetrics in each of the five intervention health facilities took part in interviews as part of the evaluation of the implementation of clinical mentoring. Healthcare workers in-charge of obstetrics indicated that clinical mentors have introduced new skills and updated the knowledge of the mentored health workers working in obstetrics:\u201cThere is an improvement in the management of post-partum hemorrhage as mentored health workers were trained on the proper use of misoprostol\u201d.In addition, a health worker in-charge of obstetrics in one of the intervention health facilities indicated:\u201cProper record keeping and improved charting of medications have also been observed\u2026\u201dAnother health worker in-charge of obstetrics pointed out:\u201cCaesarean section (C/S) deliveries are more likely to be routinely carried out for some pregnancies especially when there are abnormal conditions that complicate normal vaginal delivery\u201d.The health facility departmental in-charges mentioned that health workers appear more confident when handling cases and this was reflected in comments from a health facility departmental in-charge:\u201cThe clinical mentor is assisting the health facility in addressing high burdens of anaemia and malaria in pregnancy within the communities that utilize the services of the health facility\u201dThe obstetrics departments of the intervention health facilities suggest an increase in patient flow as well as a decrease in the number of referrals out of the health facility to higher level health facilities. An in-charge of obstetrics in one of the intervention health facilities pointed out:\u201cWe now record the expected due date (EDD) for prospective mothers as part of best practices for effective maternal healthcare\u2026and to help us with this the clinical mentor came with a calendar so that the EDD for clients can be easily calculated.\u201dAn obstetrics unit head within an intervention health facility also indicated:\u201cMore patients are coming\u2026a health worker at a nearby health facility referred a patient and insisted that the patient visits on the day the clinical mentor visits this health facility\u2026\u201dThe health workers in-charges of pediatrics department in each of the five clinical mentoring intervention health facilities were interviewed as part of the study. The health workers in-charge of pediatrics concur with the mentored health workers and suggest that there has been an increase in pediatric patients coming to access health services. It was implied by health workers in-charge of pediatrics that the mentored health workers tend to better manage patients, thus likely reducing the number of pediatric cases referred out of the health facilities. A pediatrics unit in-charge remarked:\u201cThe clinical mentor introduced the use of ambu-bags and these have been particularly useful for neonatal resuscitation and reducing neonatal mortality\u201d.Aligning with the responses from the pediatric clinical mentors, pediatric unit in-charges indicate that some notable best practices have been introduced by the clinical mentors; for e.g. weighing pediatric patients which is crucial for the appropriate calculation of pediatric dosages as well as for growth monitoring. An in-charge of pediatrics in one of the intervention health facilities also pointed out:\u201cThere have been some changes in the treatment protocols for e.g. malnutrition; we have been taught that we should be careful with the use of IV fluids and instead insert NG-tubes especially for severely malnourished pediatric patients.\u201dProper baseline investigations and tests are now more likely to be carried out as part of standard management of pediatric cases following the introduction of clinical mentoring. The pediatrics clinical mentors also introduced changes to the management of malnutrition such as the use of nasogastric (NG) tubes for managing malnourished children within the intervention health facilities. A health worker in-charge of the pediatrics remarked:\u201cClinical mentoring has introduced new clinical approaches\u2026resulting in improved standards of health care for our pediatric patients.\u201dWith the accessibility of the consultant pediatricians to health workers working in the intervention health facilities, it was reported that health workers tend to better manage clinical cases and if there is need, the clinical mentors could be contacted using a mobile telephone and thus the necessary guidance can be provided. This perception of an improved standard of pediatric care within the intervention health facilities was summarized by a health worker in-charge of pediatrics in one of the intervention health facilities as follows:This study set out to investigate stakeholders\u2019 perceptions of clinical mentoring as an innovation for improving maternal, newborn and child health service delivery within Jigawa State in northern Nigeria. The study explored the implementation of clinical mentoring from four unique perspectives: clinical mentors, mentored health workers, departmental in-charges of Pediatrics and Obstetrics within intervention health facilities as well as government officials from the Gunduma Health Board. Utilizing a qualitative study design, the study elicits the responses of key actors in the implementation of the clinical mentoring intervention, discusses the implications for improving health care service delivery and outlines some key policy recommendations.Poor performance among health workers is usually associated with the lack of adequate knowledge and skills . Howeverduring each visit to ensure the appropriate calculation of pediatric dosages, appropriate baseline investigations for pediatric patients as well as the use of ambu-bags for neonatal resuscitation to reduce neonatal mortality.The preliminary assessments conducted at the start of the clinical mentoring intervention provided useful pointers on specific areas to focus on during the capacity building process. The vast majority of mentored health workers suggest that clinical mentoring did not only strengthen health workers capacity but it also appears to have improved service delivery and health facility management within the intervention health facilities. The contributions of clinical mentoring to health facility management and service delivery were also reiterated by the healthcare workers in charge of both Pediatrics and Obstetrics: clinical mentors have utilized their expertise to update the knowledge and skills of mentored health workers. More importantly, best practices were introduced and are being institutionalized with the support of the clinical mentors such as the use of magnesium sulphate for eclampsia management, misoprostol for the management of post-partum hemorrhage, weighing pediatric patients However serious considerations should be paid to the recommendations proposed by the clinical mentors such as the provision of temporary accommodation to allow the mentors follow up on cases when and where necessary. As a solution, the government can provide some form of \u201cdoctors\u2019 lodge\u201d to provide overnight accommodation for the clinical mentors to address the challenge of temporary accommodation. Pay for performance incentives can also be introduced to further motivate the clinical mentors which will have direct consequences on the quality of services provided at the health facilities. Criteria for computing these financial incentives could be based for example on the number of complicated cases managed per week or month over and above a set target. Concerted efforts should also be invested to ensure that the benefits of the mentoring visits are fully exploited by the catchment populations of the intervention health facilities through employing effective community mobilization strategies. Community mobilization could involve the use of meetings in surrounding communities that utilize the services of the health facilities as well as the mass media such as radio to inform communities about the availability of expert healthcare in the clinical mentoring health facilities. The availability of more patients through community mobilization could lead to better mentoring because of the exposure of the mentees to a wider variety of clinical cases. In addition, increasing access to the expertise of the clinical mentors by providing mentoring opportunities for the majority of health workers working within as well as others working outside the current mentoring centers should be a priority.Another obvious recommendation is the scale up of clinical mentoring to health facilities outside the current mentoring centers. In carrying out such a scale up to other health facilities, careful consideration should be paid to a more holistic system strengthening approach to the health system including the provision of essential drugs, adequate financial resource mobilization and reliable health information systems in addition to proper governance and accountability mechanisms. This is important because as implied elsewhere , simply This study has some key limitations: there is the possibility of response bias particularly among the mentored healthcare workers and clinical mentors. In addition the study design excluded health workers not participating in this clinical mentoring approach but working within the intervention health facilities, who may have provided an entirely different perspective. Furthermore, since the study was conducted just about six months after clinical mentoring commenced, there is lack of evidence on the longer term impact of clinical mentoring on health workers\u2019 capacity and healthcare service delivery.This study suggests that the introduction of clinical mentoring into the Jigawa State health system has given rise to mentored health care workers with improved capacity to deliver better quality maternal, newborn and child health services. There is strong optimism that consequently there will be more emphasis placed on the need for and the provision of better maternal, newborn and child healthcare (MNCH) services. However this optimism needs to be matched with organizational support from the health facilities\u2019 management as well as managerial support from the State\u2019s Ministry of Health to improve health workers\u2019 motivation, service delivery and health outcomes. Finally as suggested by healthcare officials working in the Gunduma Health Board, integrating clinical mentoring into the existing district health system within the State will promote ownership by the Government as well as the sustainability of clinical mentoring within the Jigawa State health system."}
+{"text": "Application of pharmacogenetic knowledge with the help of quick and cheap companion diagnostics in the primary care setting is expected to deliver improved treatment and reduced heathcare costs. Warfarin and aspirin are the two most widely prescribed drugs for preventing cardiovascular diseases. Long term aspirin use has also been shown to reduce risk, recurrence and mortality from colorectal cancer. However, they both have narrow therapeutic windows and several genetic polymorphisms have been noted to influence their dose and efficacy. We therefore have launched two collaborative projects: first, to study the genetics of warfarin safety in the Gujarati Indian population and second, to identify further polymorphisms that modulates aspirin\u2019s colorectal cancer chemopreventive efficacy. Understanding the impact of polymorphisms on dose and efficacy for these drugs would lead to development of a combined panel of markers that would predict accurate therapeutic dose with minimal risk for adverse reactions. These markers will be deployed at the point of care settings using a novel handheld genotyping device which will use disposable microfluidic cassettes and silicon nanowires currently developed by QuantuMDx. Results, future work, opportunities and barriers will be examined.The increase in identification of putative biomarkers and opportunities to develop tailored treatments are due to emergence of"}
+{"text": "Hepatocellular carcinoma (HCC) is a malignant tumor with hepatocellular differentiation and one of the most common cancers in the world. This type of cancer is often diagnosed when the survival time is measured in months causing high death rates . For theWe enhanced the classification process presented in by incluThe results of classification experiment are summarized in The combination of nuclear, trabecular, and other tissue features enables improved classification rate in HCC detection using SVM. Even though the image characteristics are different in biopsy and surgically resected samples, the same classification system gives good performance in both samples. The HCC classification scheme introduced in this paper is implemented in the prototype \u201cfeature measurement software for liver biopsy,\u201d and the probability of HCC is visualized for every ROI in the WSI. It will support pathologists in the HCC diagnosis along with the quantitative measurements of tissue morphology."}
+{"text": "Size Principle of motoneuron recruitment stated that for any net excitatory input to the motoneuron pool, motoneurons were recruited in an orderly fashion, always from small to large. Stein and coworkers demonstrated that the size principle generalized to voluntary isometric contractions in humans, which they called Orderly Recruitment and contractile properties of the associated muscle units. Considering the range of motoneuron and corresponding muscle unit properties, the obvious question arose about how and which motoneurons were selected by the central nervous system for various types of contractions and movements. Elwood Henneman and his coworkers proposed an unequivocal simple pattern in a series of papers starting in 1957 from experiments conducted on reduced cat preparations muscles. Likewise, an anatomically defined motoneuron pool may under certain conditions be compartmentalized into task groups (Riek and Bawa, What do orderly recruitment and selective recruitment really mean? The accepted narrative is that orderly recruitment of motor units from small to large twitch force, results in a more precise control of force and movement; this precision is more important for small and mid range forces. By maintaining the same order of recruitment, the central nervous system minimizes the computational load across a wide range of desired outputs (Henneman et al., Another factor that has contributed to a misunderstanding of the orderly recruitment is the expectation for precise rank ordered recruitment (Henneman et al., laboratory conditions with simple muscles and a limited set of contractions, recruitment is orderly in terms of force (Milner-Brown et al., size principle of orderly recruitment will generalize to movements of everyday life.The ultimate meaning of recruitment order lies in the force output of the entire musculoskeletal system for the purpose of behaviorally relevant movements. Clearly in The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "PLOS Biology Editors and the splicing does not affect the authors\u2019 conclusions.The authors would like to clarify the source of splice lines that can be detected in several figures where lanes from parts of the same gel were juxtaposed. To assure readers of the integrity of the data and demonstrate the source and relationship of the gel lanes, we present in S1 Raw Data(PDF)Click here for additional data file."}
+{"text": "In the past decade, remarkable change in malaria control and transmission has been documented in many African nations and some countries are moving toward elimination. The malaria control community has long measured and tracked malaria transmission using a variety of methods from the highest to the lowest transmission areas. For program action across the spectrum of transmission between humans and mosquitoes, the balance between accurate measurement, sufficient detail to inform program decisions, and ease and simplicity of information collection, analysis and interpretation has always been challenging. A summary of historic and current efforts to measure parasites within and moving between people and mosquitoes will be provided with an emphasis on how the approaches and emphasis change as transmission intensity changes. The program decision needs for routine systems and for special studies to track transmission reduction will be discussed. The detection and verification of \u201czero\u201d infection and transmission will be discussed in terms of tools and sampling methods that will allow the designation of malaria-free areas."}
+{"text": "While historically viewed as an immune-privileged area fully isolated from the immune system, the central nervous system (CNS) is now appreciated to maintain dynamic bi-directional communication with the immune system across the blood\u2013brain barrier (BBB) , 2. In nIt is now accepted that there is a need for constant immune surveillance of the adult CNS as part of normal host defense, acknowledging that simultaneous mechanisms must keep local CNS inflammation strongly in check . Indeed,Streptococcus pneumoniae is an important pathogen because it is the main cause of both community-acquired pneumonia and meningitis induced by a bacterial pathogen in otherwise healthy older children and adults. Much has also been learned about host immune responses elicited by pneumococcal pneumonia or meningitis using mouse models is an arenavirus to which both mice and humans are susceptible and that causes varying combinations of visceral and/or CNS involvement in adult hosts. Murine LCMV infection has served as a prototype experimental system to study immunity to viruses for many years . This paThe host responses provoked by these two naturally occurring pathogens are used here to compare how the immune system recognizes and responds to the same challenge in the periphery and the CNS Table . The avaBoth the afferent and efferent arms of the immune system are efficiently activated in the context of either pneumococcal or LCMV infection, and the kinetics, magnitude, and composition of immune responses elicited in adult hosts appear remarkably similar when either a visceral organ or the CNS is the main target of disease Table . Acute CThe authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Emergency contraception pills (ECP) are among the 13 essential commodities in the framework for action established by the UN Commission on Life-Saving Commodities for Women and Children. Despite having been on the market for nearly 20 years, a number of barriers still limit women's access to ECP in low- and middle-income countries (LMIC) including limited consumer knowledge and poor availability. This paper reports the results of a review to synthesise the current evidence on service delivery strategies to improve access to ECP.A narrative synthesis methodology was used to examine peer reviewed research literature (2003 to 2013) from diverse methodological traditions to provide critical insights into strategies to improve access from a service delivery perspective. The studies were appraised using established scoring systems and the findings of included papers thematically analysed and patterns mapped across all findings using concept mapping.Ten papers were included in the review. Despite limited research of adequate quality, promising strategies to improve access were identified including: advance provision of ECP; task shifting and sharing; intersectoral collaboration for sexual assault; m-health for information provision; and scale up through national family planning programs.There are a number of gaps in the research concerning service delivery and ECP in LMIC. These include a lack of knowledge concerning private/commercial sector contributions to improving access, the needs of vulnerable groups of women, approaches to enhancing intersectoral collaboration, evidence for social marketing models and investment cases for ECP. Universal access to sexual and reproductive health and rights is an essential component of a healthy society. There are 222 million women in the world who wish to prevent pregnancy but are not using effective, modern methods of contraception. This results in an estimated 86 million unplanned pregnancies, 33 million unplanned births Strengthening service delivery and demand generation are key strategies to achieving universal access to sexual and reproductive health (SRH), including access to Emergency Contraceptive Pills (ECP). ECP is included in the list of 13 essential commodities in the framework for action established by the UN Commission on Life-Saving Commodities for Women and Children (UNCoLS) Quality service delivery at primary health care level, in both public and non-state sectors, is dependent upon inputs into the health system including supportive policies, evidence-based guidelines, trained workforce, secure contraceptive procurement and supplies, and financing. Ensuring the availability and access to quality health services is one of the main functions of a health system In order to improve the service delivery of ECP, leaders in LMICs require evidence to inform country efforts to strengthen quality assurance mechanisms, build the capacity of the pharmacy/drug-selling sectors to provide high-quality service and advice, co-ordinate and scale-up service provision, and generate demand through interventions such as social marketing. Improving service delivery requires building the knowledge base at country level. However, there is a paucity of such knowledge, nor is there a synthesis of quality evidence from a number of nations available to decision-makers in their efforts to increase access to ECP.In order to provide evidence to contribute to strengthening ECP delivery channels and developing policy guidance and tools to expand access to ECP including among vulnerable groups, we undertook a narrative synthesis of current research. The aim of this review was to identify what service delivery opportunities and interventions in LMIC can facilitate increased access to ECP. The results of this review and related reviews into consumer and service provider experiences will provide evidence to assist the ECP Technical Reference Team that has been established to help carry forward the UNCoLS recommendations at the global and national levels A narrative synthesis methodology was employed to analyse selected literature. This method was chosen due to the range of qualitative and quantitative methodologies of the studies identified for the review, which did not allow the pooling of results that are achieved in other systematic approaches to synthesising evidence such as statistical meta-analysis The scoping exercise identified databases and website where ECP literature could be retrieved and potentially useful keywords identified. Seven bibliographic databases , meta-Indexes ; websites of relevant organizations ; Google Scholar and the reference lists of key papers were searched to retrieve research literature.A Population, Interventions, Comparators, Outcomes, Study design (PICOS) question was formed to guide this review as per guidelines Observational studies, quasi experimental and non-experimental descriptive studies were considered suitable for inclusion and a systematic search of the contemporaneous primary research literature published from 2003 to 2013 in English in LMIC was undertaken. Electronic databases and the internet were searched using Medical subject headings (MeSH) . The following terms were employed: \u2018Postcoital Contraception\u2019 and \u2019Health Services Accessibility\u2019 and \u2018Healthcare Delivery\u2019 and \u2018Contraceptive Distribution\u2019 and \u2018Developing Countries\u2019 and supplemented by the terms key words \u2018emergency contraception,\u2019 or \u2018emergency contraceptive pills\u2019 using the MESH terms, abstract and keyword options. This was modified as returns were poor. For example a search of ProQuest Health & Medical Complete AND MeSH AND MeSH AND MESH (Contraceptive Distribution) AND MeSH (Developing Countries) AND ab((emergency contraception OR emergency contraceptive pills))returned no results. Searches that returned results are outlined in Retrieved records were first screened for their focus as per the PICOS question by the first author and duplicates removed. Discursive papers (papers without research data), those older than 10 years or whose focus was outside of the aim were removed. Preferred Reporting Items for Systematic Reviews and Meta-Analyses (PRISMA) guidelines were used to report the review process Sixteen papers were identified as relevant in discussion with all authors. These papers were appraised by all authors using the Critical Appraisal Skills Programme (CASP) tool, a checklist developed for assessing the quality of qualitative evidence for use in policy and practice Six items were discarded: reviews that did not include primary data A narrative synthesis approach was conducted as per guidelines Ten documents were included in this study see . Five doECP service delivery to survivors of sexual assault was examined in four studies The study by Khan et al. also examined ECP service provision at police stations in India and Bangladesh and also found a lack of consistent protocols and low police knowledge of ECP An intervention study involving 20 purposefully selected police stations in urban and peri-urban study sites in Zambia demonstrated promising results of stocking ECP at police stations and training police officers to deliver ECP to eligible survivors of sexual violence and high rates of referral of women to health facilities Scaling up and mainstreaming ECP in national programs was the focus of three studies All three studies included provider training activities that were found to have improved knowledge. In Ethiopia Task shifting and sharing was the key focus of one intervention study from India that investigated the difference between ECP service provision by paraprofessionals and physicians One intervention study in the review is concerned with examining the effectiveness of providing ECP to women on demand compared with in advance in Bangladesh Print and electronic media were used to communicate messages about ECP in studies included in the review. In Nepal an ECP brochure was developed for clients that were found to have been widely shared in the community This review has identified limited knowledge concerning service delivery interventions in LMIC that can facilitate increased access to ECP. Data showing the effects of interventions on reproductive health outcomes The findings of four descriptive studies included in the review indicate that considerable gaps exist in terms of service provision to survivors of sexual assault and rape. Despite one promising study more research is needed to determine how police and health workers can best collaborate to ensure survivors of sexual violence are treated with empathy and dignity and scale up the efficient quality care they require. Task shifting and sharing with cadres other than doctors was found to be a useful strategy to improve ECP access in four of the included studies, forming the focus of one study intervention More research is needed to better understand how mobile phone technologies and other forms of electronic communication can be used to disseminate ECP information and respond to consumers' questions and how this can be integrated with other social marketing and education interventions.There appears to be a dearth of comprehensive evidence of scale up and mainstreaming of ECP as only three studies were identified, none of which included evidence about all sectors that provide ECP. Evidence of workforce interventions is scarce particularly in terms of the types of workforce support and performance management initiatives that may be required across both the public and private sectors. This review highlighted that there is a paucity of evidence concerning what ECP data should be collected and best practice for commodity procurement and disbursement, financing for ECP, and ECP policy. As a result, there is little guidance for LMIC about how to prioritize the limited resources available for improving access to ECP. Little research learning has been documented and shared. This underlines the need to invest in strategic high quality research efforts to better understand what service delivery strategies work in specific contexts. There is also a need to identify lessons from successful (and unsuccessful) endeavours that can be applied by countries undertaking similar policy objectives as they relate to improving access to ECP.Despite the commercial sector providing a significant portion of SRH health services in LMIC This study may have been limited by an incomplete retrieval of research studies; however, efforts were made to search not only bibliographic databases but also meta-Indexes and the websites of international organizations. As a result more documents identified but despite meeting the appraisal criteria some of these may have been at a lower quality, as not all studies were published in peer reviewed journals. The application of a narrative synthesis to the results of the studies included in this review may have led to a loss of detail particularly of contextual factors that are important to the outcomes of the various interventions. However in this review textual descriptions of the studies provided a narrative that was maintained across all studies. The graphical elements included in the analysis were useful for identifying service delivery patterns and the tabulation of findings enabled structured comparisons across the interventions identified. A final limitation may have been our cut-off point of 10 years prior as more attention was paid to research on ECP introduction shortly after the dedicated product was made available, in the mid-late 1990s.ECP have been acknowledged as an essential commodity to prevent unwanted pregnancy and save women's lives; however women in LMIC face many barriers to accessing this contraceptive method. This review has identified a number of promising strategies to improving access including: advance provision of ECP; task shifting and sharing; intersectoral collaboration for sexual assault; m-health (the use of mobile devices such as mobile phones) for information provision and engagement of potential users; scale up through national family planning programs. However, the lack of high quality evidence resulting in few studies from which to glean comprehensive insights has led to the identification of a number of knowledge gaps. These gaps present a range of questions that should be the focus of research into how to best improve service delivery efforts for ECP. Checklist S1PRISMA checklist.(DOC)Click here for additional data file."}
+{"text": "Initial diagnosis and staging of gynaecological malignancy is often the remit of the local general radiologist. The \u201cincidentaloma\u201d is not infrequently encountered on pelvic imaging undertaken for other indications. It can be daunting to those without a solid knowledge of the female pelvis.To recognise the spectrum of female pelvic malignancy and appreciate relevant incidental findings.To identify the pearls and pitfalls of diagnosis, understand important points in staging and restaging disease.To identify potential complications of both tumour and treatment and discuss imaging strategies in suspected local recurrence.We provide an overview of imaging modalities used, review pertinent anatomy and cover the spectrum of malignancy specific to the female pelvis, incorporating common and uncommon tumours. Emphasis is placed on imaging features that are important in treatment planning and evaluating prognosis.This exhibit will enhance the confidence of general radiologist in a district hospital setting when encountering potential female pelvic malignancy at initial diagnosis or when assessing for complications of tumour or treatment in the acute setting."}
+{"text": "This paper discusses the contentious issue of reuse of stored biological samples and data obtained from research participants in past clinical research to answer future ethical and scientifically valid research questions. Many countries have regulations and guidelines that guide the use and exportation of stored biological samples and data. However, there are variations in regulations and guidelines governing the reuse of stored biological samples and data in Sub-Saharan Africa including Malawi.The current research ethics regulations and guidelines in Malawi do not allow indefinite storage and reuse of biological samples and data for future unspecified research. This comes even though the country has managed to answer pertinent research questions using stored biological samples and data. We acknowledge the limited technical expertise and equipment unavailable in Malawi that necessitates exportation of biological samples and data and the genuine concern raised by the regulatory authorities about the possible exploitation of biological samples and data by researchers. We also acknowledge that Malawi does not have bio-banks for storing biological samples and data for future research purposes. This creates room for possible exploitation of biological samples and data collected from research participants in primary research projects in Malawi. However, research ethics committees require completion and approval of material transfer agreements and data transfer agreements for biological samples and data collected for research purposes respectively and this requirement may partly address the concern raised by the regulatory authorities. Our concern though is that there is no such requirement for biological samples and data collected from patients for clinical or diagnostic purposes.In conclusion, we propose developing a medical data and material transfer agreement for biological samples and data collected from patients for clinical or diagnostic purposes in both public and private health facilities that may end up in research centers outside Malawi. We also propose revision of the current research ethics regulations and guidelines in Malawi in order to allow secondary use of biological samples and data collected from primary research projects as a way of maximizing the use of collected samples and data. Finally, we call for consultation of all stakeholders within the Malawi research community when regulatory authorities are developing policies that govern research in Malawi. Clinical research may sometimes involve exportation and importation of biological samples and data which serve as the back bone of viable scientific or biomedical research. As emerging innovations in the fields of genetics, genomics and biotechnology increase, the value of biological samples and data , 2 creatIn the United States of America (US), it is allowed to collect and store biological samples and data for future research. However, there are disagreements on the issue of informed consent. According to the US federal regulations \u201calso known as the Common rule\u201d or the Code of Federal Regulations (CFR), research on stored biological samples and data is explicitly exempt from review by institutional review boards (IRB) . This isn\u2009=\u2009504) found that for biological samples and data derived from research, the majority of research participants would not require their consent for identifiable samples and data and even less than 12.1 % of the research participants would require consent for anonymized samples [It is important to note that these guidelines are not based on empirical research done on research participants but mostly on the interpretation held by the different bodies on the principle of respect for persons or autonomy and informed consent . A studyIntention for collecting the sample/data.Justification for requiring a biological sample/data.Duration for storage of the sample/data and its justification.The place where the sample/data will be kept.OwnershipControl of the sample/data.AccessMost countries in Sub-Saharan Africa require researchers from both academic and research institutions to complete material transfer agreement forms (MTAs) before shipping biological samples and data collected from research participants to academic or research institutions overseas, and mostly to developed countries. In the MTA forms, the researchers are required to justify importation and exportation of biological samples and data to the institutions in the developed countries where the samples and data are sent for further analyses and tests . Though However, there are variations in regulations governing use of biological samples and data in Sub-Saharan Africa. The National Health Act of 2003 of South Africa requires that research participants must provide informed consent before donating biological samples and data but the Act does not have guidelines on reuse of such samples and data in research . The Stan\u2009=\u2009343) found that 95 % of the research participants would consent to reuse of samples and data without additional consent as long as the Institutional Review Board approved it [n\u2009=\u2009600), 44.3 % of the participants felt consent forms should include a separate section for storage and future use of samples [n\u2009=\u2009200), 77.5 % of the participants were comfortable with storage of samples while 12 % of the participants said they would require reasons for storage and would want to give separate consent for storage [The variations in national regulations and guidelines reflect the differing perspectives of research participants across several African countries. A study done in Uganda as early as 1982 . The samn\u2009=\u2009200), over a third (39.5 %) of participants indicated that \u201cthey would mind if researchers or research organizations generated profits from the research in which they were involved\u201d [Malawi like other developing countries has limited capacity to conduct complex biomedical and genetic tests required to answer scientific and ethically valid questions. This has allowed researchers to obtain ethics approval from local ethics committees to export biological samples and data to countries where such biomedical and genetic tests are available. However, the regulatory authorities are concerned that these exported biological samples and data may be subject to abuse and exploitation by researchers. Indeed, international collaborative research has been subject to abuse and exploitation in the past and not only on issues of stored biological material . There hnvolved\u201d . Of thisnvolved\u201d .It should also be noted that while it is the duty of government and RECs to promote the interests of the research participants and prevent their exploitation, such efforts may amount to unnecessary paternalism if the affected research participants are not involved in such decisions . For exaJohn Rawls, one of the contemporary philosophers once stated that \"justice as fairness serves as a basis of informed and willing political agreement between citizens viewed as free and equal persons \u201c. Thus, wRestrictions on secondary use of biological samples and data imply that any tissue remaining at the completion of a particular study should either be kept in storage indefinitely or be disposed of. This amounts to wastage of valuable biological material that could be used to advance medical knowledge for better interventions and such a restriction is not cost effective. This restriction also subjects research participants to biological sample and data recollection in order to carry out secondary research. This exposes them to additional risk and contradicts the principle of non-maleficence.The restrictions set forth by Malawian regulations and guidelines also run the risk of selective justice which is another form of injustice. While being restrictive on biological samples and data derived from research, which is heavily controlled and closely monitored by research ethics committees, regulatory bodies are silent on samples and data derived from medical centers for clinical diagnosis that could end up in research centers. Therefore, we propose the introduction and utilization of a separate material transfer agreement which shall be called medical material transfer agreement (MMTA) for exportation of biological samples and data that are collected from patients in both private and public health facilities for clinical purposes.Both the National Health Sciences Research Committee and COMREC do require completion and approval of MTAs for biological samples and data collected in research settings. However, there is no data and material transfer agreement that is designed for biological samples and data collected in clinical settings that may later on be used for research purposes. This may create a gap for exploitation of biological samples and data collected for diagnostic purposes. Although comprehensive, the MTA in research settings does not address the issue of how samples and data will be handled after research activities are over. As such, there is still room for researchers to exploit biological samples and data collected for research purposes. Creating a bio-bank or bio-repository center in the country and requesting return of samples and data after a specified period may be a viable alternative to better regulate handling of human samples and data for medical research.However, we are of the opinion that broad consent for storage and future use of biological samples and data done at the time of sample and data collection may be the best model of consent to allow unspecified ethical research that will be reviewed and approved by an ethics committee . By defiThere are also other consent models which could be used. A multi-layered/tiered consent is a consent model in which research participants are given a set of options which allow them to select how they want to participate in the research. Multi-layered/tiered consent can used where researchers want to give options to research participants to choose whether they want their samples and data to be used in future studies or not . This emIn circumstances where the research ethics committee recommends re-consenting of research participants having obtained specific consent in primary research projects, researchers would then be obliged to do so but if it is not feasible to re-contact research participants for consent to use stored biological samples and data for other purposes, the research ethics committee may provide a waiver or may consent on behalf of the research participants. As Nienaber puts it, \u201cresearch in vulnerable populations is not by definition exploitative and unethical\u201d and \u201cpaternalistic attitudes are denigrating\u201d . TherefoThe current view held by the National Health Sciences Research Committee and COMREC are restrictive and may prove to be detrimental to health research in Malawi. As such, there is need for review of the policy stand at the national level. Research participants must be allowed to give informed consent if they so wish or to decline use of their biological samples and data derived from them for any other purpose including in future research. As an important component of medical research, research participants\u2019 autonomy should be respected by allowing them to decide what they feel is the best fate for their donated biological samples and data. This could either be biological sample/data reuse or destruction.Research ethics committees and regulatory bodies should continue doing vibrant reviews of medical research and put in place measures to avoid research participants\u2019 exploitation and abuse. To better address regulatory bodies\u2019 concern about exploitation of biological samples and data by researchers, further empirical social science research needs to be conducted locally to assess the views of research participants and the public on collection, storage and future reuse of biological samples and data and inform policy makers accordingly. There is also need to educate the public about the benefits of future use of biological samples and data.We also recommend that government and local research institutions should invest in developing infrastructure that will allow processing of biological samples and data locally. In the absence of local capacity, it is unfair to hinder exportation of biological samples and data for good biomedical research. This would allow better regulation of biological samples and data that are collected both for medical research and diagnostic purposes.There is also need to introduce a medical data and material transfer agreement document for biological samples and data derived in medical centers for clinical diagnostic purposes that could end up in research centers. The current policy is rigid and too strict on research derived samples and data but there is no strict control on biological samples and data derived from clinical investigations or procedures.The current framework is also silent on proof of destruction of biological samples and data when the research is over. Hence, we recommend the development of a local bio-bank in Malawi where biological samples and data should be returned after the agreed period of storage has passed. Since establishing a bio-bank is likely to take time, a remote site can keep the biological samples and data in storage while allowing Malawian researchers the right to access the biological samples and data.As genetic, genomic and biomedical research technologies become more advanced, biological samples and data collected for specific research objectives may be of great value to study other secondary outcomes. Where genetic and genomic studies are involved, we are aware that the National Health Sciences Research Committee is mandated to review them. However, in both clinical research and genetic/genomic studies, much emphasis should be placed on collection, storage and obtaining consent for future reuse of biological samples and data. This has the potential to greatly benefit the nation and the medical research community in Malawi. However, this can only occur if the guidelines governing such research are reasonable, fair and objective. It is therefore necessary to review existing guidelines and allow secondary use of stored biological samples and data. Asking research participants to donate a sample or data for each research question when new research questions could potentially be answered by already existing samples and data is unnecessary duplication and unfair. This underutilization of biological samples and data constitutes reckless wastage of valuable and scarce human biological samples and data. While we acknowledge the genuine ethical concern by the National Commission for Science and Technology that it is trying to avoid exploitation of biological samples and data collected in Malawi for research purposes, there is no empirical evidence that researchers can exploit samples and data they collect in primary research projects. In addition, the current regulatory framework is punitive to those who want to be efficient for other emerging research questions. Too much restriction may also undermine training of local researchers as most high technology research is currently conducted outside the country."}
+{"text": "Beilstein Journal of Organic Chemistry on natural products in 2011 and 2013 [Artemisia annua [Streptomyces avermitilis at the famous Kitasato Institute and for the development of derivatives that are used as highly potent anthelmintics both for animal and human welfare [As a continuation of the first two Thematic Series in the welfare . Current welfare ), analyt welfare , gene sy welfare offer an welfare continueBeilstein Journal of Organic Chemistry and also the whole team at the Beilstein-Institut for their professional work. I wish the readers of the present Thematic Series joyful reading and hopefully new inspiration for their own research.I thank all contributors that participated in this third Thematic Series on natural product chemistry in the Jeroen S. DickschatBonn, February 2016"}
+{"text": "Preventing Chronic Disease (PCD) has issued a special call for student papers for our Student Research Paper Contest. This year PCD received 67 submissions from students throughout the world. We are very excited to recognize Kathleen Li and colleagues as the winners of the 2014 contest for their paper entitled \u201cEvaluation of the Placement of Mobile Fruit and Vegetable Vendors to Alleviate Food Deserts in New York City\u201d and with the multiple rounds of review of the top 15 papers also contributed countless hours reviewing and commenting on these manuscripts. I especially want to recognize Dr Deesha Patel, our 2013 student winner, who served as a reviewer this year. Congratulations and thank you for making the student contest a success!The Student Research Paper Contest is a great opportunity to recognize the outstanding work being done by the next generation of public health researchers and their mentors. In addition to the 67 students who submitted manuscripts, hundreds of mentors and colleagues supported these young investigators, and we want to recognize them. Without their contributions"}
+{"text": "A lack of social support and recognition by the environment is one of the most consistent risk factors for posttraumatic stress disorder (PTSD), and PTSD patients will recover faster with proper social support. The oxytocin system has been proposed to underlie beneficial effects of social support as it is implicated in both social bonding behavior and reducing stress responsivity, notably amygdala reactivity : BONDS standing for \u201cBoosting Oxytocin after trauma: Neurobiology and the Development of Stress-related psychopathology\u201d in acutely traumatized persons admitted to the emergency department enhanced psychotherapy in PTSD patients."}
+{"text": "At 30 minutes the jacket and weighted rucksack are removed and at 45 minutes the remaining t-shirt is also removed. Patients continue to exercise for a minimum of 60 minutes or up to 90 minutes duration to determine whether thermal equilibrium can be achieved. Patients achieving thermal balance are considered to show normal thermoregulation (and pass HTT), those who do not or have another medical issue identified are considered to be heat intolerant (fail). Those who do not pass the assessment are reviewed at least once a minimum of 8 weeks later. Measurements of rectal temperature, skin temperature, heart rate and sweat rate made during the HHT are used to determine whether an individual's heat intolerance relates to an abnormal level of heat production or impaired heat dissipation mechanisms.Exertional heat stroke and heat illness (HI) continue to pose a significant threat to military training and operations in both temperate and hot climates. In 2001, the Institute of Naval Medicine (INM) established a formal protocol for Heat Tolerance Testing (HTT) and in 2003 it became UK Armed Forces Policy that personnel who have been diagnosed as having suffered from an episode of heat stroke or HI with a significant biochemical disturbance or multiple episodes of HI are referred to the Heat Illness Clinic (HIC) at the INM. Following a full medical examination and assessment of maximal aerobic fitness (VOPatient outcomes of the HTT reported for those who attended in 2014 were reviewed.In 2014, 140 patients were assessed in the INM HIC, assessment outcomes are shown in Table Only a small number of the HI casualties referred to the HIC demonstrate abnormal thermoregulation. Although the HTT appears to discriminate between individuals with normal and abnormal thermoregulation further work is required to confirm the specificity and sensitivity of the HTT."}
+{"text": "In 2014, the first national report providing surveillance data for antibiotic consumption in England was published by the English Surveillance Programme for Antimicrobial Utilisation and Resistance (ESPAUR) [Rx-info and IMS Health are commercial organisations specialising in the provision of prescribing data for healthcare. Data from IMS Health was used to collate information on antibiotic use in secondary care for the ESPAUR report. The report showed considerable variability in the extent of antibiotic prescribing across different areas within England. While IMS Health and Rx-info each have formal internal quality assurance processes, there has been no external validation of the data when used for the purpose of comparison or benchmarking. The National Health Service (NHS) England will include validation of hospital prescribing data as part of the antimicrobial quality premium in 2015/16.To develop a national protocol for validating antimicrobial consumption data in acute NHS hospitals in England.A validation protocol was designed and piloted in acute NHS hospitals. Each was sent the protocol along with a workbook to enable each hospital to submit antimicrobial consumption data from their own pharmacy system. These data were analysed alongside that from IMS Health and Rx-info. Participating hospitals were also sent a questionnaire to gather feedback on the pilot validation protocol to help inform the final national protocol.Forty-five (out of acute 156) NHS Trusts participated in the pilot. The pilot protocol and questionnaire feedback enabled the development of a national validation protocol which was published in March 2015.All acute NHS hospitals in England will be encouraged to use the national protocol to validate antimicrobial prescribing data to ensure correct and meaningful data for the purpose of benchmarking and antibiotic stewardship.None declared."}
+{"text": "Pilot and feasibility studies underpin much of current health related research, including randomised controlled trials. The number of reports in which authors describe their studies as pilot or feasibility studies is increasing. In spite of recent attempts to define pilot and feasibility studies, the research community has differing views about these definitions.We will present a framework for defining pilot and feasibility studies conducted in advance of randomised controlled trials designed to assess the effect of an intervention. The framework was developed using: a Delphi consensus study (93 participants); an open meeting at the 2nd International Clinical Trials Methodology Conference in 2013 (15 participants); a review of definitions outside the health research context; an international expert consensus meeting (26 participants); and a review of published empirical studies described as pilot or feasibility (27 studies).The framework uses feasibility as an umbrella term with pilot studies as a subset of feasibility studies; it does not use mutually exclusive definitions of pilot and feasibility studies. The framework involves straightforward definitions and can be represented in a simple diagram. We will show how it is consistent with the common usage of these terms in the literature, and with the UK Medical Research Council framework for complex interventions. Additionally although the UK National Institute for Health Research does imply that feasibility and pilot studies are mutually exclusive, their definitions can be mapped onto the framework. This work is part of a larger programme of work on pilot and feasibility studies."}
+{"text": "Reelin is a neurodevelopmental protein important in adult synaptic plasticity and learning and memory. Recent evidence points to the importance for Reelin proteolysis in normal signaling and in cognitive function. Support for the dysfunction of Reelin proteolysis in neurodegeneration and cognitive dysfunction comes from postmortem analysis of Alzheimer\u2019s diseases (AD) tissues including cerebral spinal fluid (CSF), showing that levels of Reelin fragments are altered in AD compared to control. Potential key proteases involved in Reelin proteolysis have recently been defined, identifying processes that could be altered in neurodegeneration. Introduction of full-length Reelin and its proteolytic fragments into several mouse models of neurodegeneration and neuropsychiatric disorders quickly promote learning and memory. These findings support a role for Reelin in learning and memory and suggest further understanding of these processes are important to harness the potential of this pathway in treating cognitive symptoms in neuropsychiatric and neurodegenerative diseases. Neurodegenerative diseases are characterized by the progressive loss of synapses and neurons, accounting for cognitive deterioration. One molecular pathway that is well characterized in playing a role in adult synaptic plasticity and learning and memory is the Reelin signaling pathway receptor insertion, and can contribute to the induction and enhancement of long-term potentiation and Apolipoprotein receptor 2 and repeats 6\u20137 peptide, and neurofibrillary tangles composed of modified versions of the tau protein of Reelin and its fragments has demonstrated significant improvements in models of Reelin deficiency (Rogers et al., ALL wrote the review and generated the figures. EJW and GWR edited the content and structure of the review. Each author contributed ideas of topics for inclusion.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "We study random strongly heterogeneous recurrent networks of firing rate neurons, introducing the notion of cohorts: groups of co-active neurons, who compete for firing with one another and whose presence depends sensitively on the structure of the input. The identities of neurons recruited to and dropped from an active cohort changes smoothly with varying input features. We search for network parameter regimes in which the activation of cohorts is robust yet easily switchable by the external input and which exhibit large repertoires of different cohorts. We apply these networks to model the emergence of orientation and direction selectivity in visual cortex. We feed these random networks with a set of harmonic inputs that vary across neurons only in their temporal phase, mimicking the feedforward drive due to a moving grating stimulus. The relationship between the phases that carries the information about the orientation of the stimulus determines which cohort of neurons is activated. As a result the individual neurons acquire non-monotonic orientation tuning curves which are characterized by high orientation and direction selectivity. This mechanism of emergence for direction selectivity differs from the classical motion detector scheme, which is based on the nonlinear summation of the time-shifted inputs. In our model these two mechanisms coexist in the same network, but can be distinguished by their different frequency and contrast dependences. In general, the mechanism we are studying here converts temporal phase sequence into population activity and could therefore be used to extract and represent also various other relevant stimulus features."}
+{"text": "Respondents were randomly allocated to one of the following three question formats: The dichotomous choice referendum, the dissonance minimizing referendum and the two-sided payment ladder. The data can be used to investigate the influence of alternative statistical approaches on the willingness to pay measures and their comparison across question formats.The dataset includes responses from a contingent valuation study about the national climate change mitigation policies in Germany. The online survey was carried out in the spring of 2014. It assesses the willingness to pay for an increase of the national CO Specifications TableValue of the data\u2022The data is designed for evaluating influences of different question formats on willingness to pay.\u2022Additionally the data contains a rich set of attitudinal variables.\u2022The data can be used to explore the influence of alternative statistical approaches on willingness to pay measures.\u2022The data facilitates evaluation of different methods to compare willingness to pay across dichotomous and continuous question formats.12 reduction goal. The sample is representative for the German population between 18 and 69 by sex and age. The data is used to estimate willingness to pay across different question formats in \"The Role of Question Format for the Support for National Climate Change Mitigation Policies in Germany and the Determinants of WTP\" The data set contains 1512 records obtained from a nationwide web-based survey of WTP for new or intensified climate change mitigation policies that are needed to reach Germany\u05f3s CO22 reduction target of 30% to 40% by 2020 compared to 1990. The target increase from 30% to 40% was selected for the contingent valuation (CV) scenario because it closely represents Germany\u05f3s climate change mitigation strategy.The questionnaire is designed to evaluate willingness to pay (WTP) in Germany for an increase in the COThe three versions of the questionnaire differed only by question format. The question formats employed are the dichotomous choice (DC) referendum, the dissonance minimizing (DM) referendum and the two-way payment ladder (TWPL). The DM referendum provides further categories to the standard DC referendum, which allow the respondent to express favour for the referendum without having to agree to pay the posted price The questionnaire is structured as follows: After a few introductory questions an information screen informed briefly about possible climate change mitigation measures that are prominent in the public discussion about the climate policy mix in Germany. After the information screen, subjects were presented a short cheap talk script and afterwards the CV scenario with the varying question formats."}
+{"text": "One key debate in memory research centers around the problem of representation. How is information represented in memory and how do the principles that govern memory representations change across the short and long term? One class of memory models information from memory. Elhalal et al. have intWe conclude by highlighting several venues for future research. Recent advances in neuroscience now enable powerful approaches that combine behavioral indices along with complementary neuroscience methods that can utilize univariate and multivariate analyses of neuroimaging data on healthy individuals, as well as transcranial magnetic stimulation and lesion studies to test and infer similarities and dissociations across the hypothesized states of memory. The literature would benefit from computational memory models that can account for the recent neural findings . A more in-depth investigation of the neural correlates of the FoA is also warranted. Recent neuroimaging work has implicated the posterior parietal cortex and the lateral inferior temporal cortex (\u00d6ztekin et al., The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "The vestibular system is crucial for postural control; however there are considerable differences in the task dependence and frequency response of vestibular reflexes in appendicular and axial muscles. For example, vestibular reflexes are only evoked in appendicular muscles when vestibular information is relevant to postural control, while in neck muscles they are maintained regardless of the requirement to maintain head on trunk balance. Recent investigations have also shown that the bandwidth of vestibular input on neck muscles is much broader than appendicular muscles (up to a factor of 3). This result challenges the notion that vestibular reflexes only contribute to postural control across the behavioral and physiological frequency range of the vestibular organ . In this review, we explore and integrate these task-, muscle- and frequency-related differences in the vestibular system\u2019s contribution to posture, and propose that the human nervous system has adapted vestibular signals to match the mechanical properties of the system that each group of muscles controls. The vestibular system senses linear and angular head motion in space. This sensory information is used by the central nervous system to elicit reflexes and control appendicular, axial and extraocular muscles that are crucial for posture and gaze. Vestibular reflexes vary across and within muscle groups and are modulated by spatial and temporal factors related to a muscle\u2019s contribution to the system dynamics, the different neural pathways innervating each muscle, and the congruency of sensory signals and motor commands for a given task. Recent findings from our lab indicate that these modulating mechanisms may be related to the frequency content of the vestibular signals impinging on the different muscles. Like many electromechanical systems, the vestibular system\u2019s input-output response varies with stimulus frequency, and like many biological systems, the bandwidth of this frequency response has evolved to match the mechanical system being controlled. This review examines the frequency response of the vestibular system\u2019s reflexive control of posture. More specifically, it focuses on the differences in the frequency response and task dependence of vestibular reflexes controlling appendicular and spinal muscles in order to better understand the neurophysiological principles governing how humans achieve stable upright posture of the head and body. We argue that the frequency response of vestibular reflexes is governed by the mechanical systems under their control, with the neck system exhibiting a broader bandwidth than the appendicular muscles. The higher frequency response in neck muscles can be modulated but not inhibited, and in contrast to the lower frequency response observed in the appendicular muscles, its contribution to muscle activity does not dependent on a neck muscle\u2019s contribution to postural control. Based on this evidence, we propose the higher frequency response of the vestibulocollic reflexes (VCR) is functionally similar to the vestibulo-ocular response for the coordination of eye-head movements as well as head postural control during gaze shifts.The frequency response of the vestibular system is governed by the electromechanical properties of the sensory organs and the various neural structures and pathways that then carry these sensory signals to motor neurons exhibit head rotational velocity profiles containing frequency information approaching 20 Hz of turtle otoliths during inertial stimuli reaches 500 Hz and resembles that of a linear second order system with a natural frequency at ~400 Hz . This processing depends on the afferent\u2019s intrinsic membrane electrophysiology and can differ within and across nuclei response latencies on the vestibular\u2014and more generally the sensorimotor\u2014control of standing has yet to be established. For instance, increased muscle stiffness, as experienced by Parkinson patients, could be simulated in healthy controls in order to understand its effects on sensorimotor processing during standing balance. Robotic balance simulators short-duration biphasic waveform response dynamics in the sternocleidomastoid muscle are insensitive to changes in vision, external support, stance width and posture also varied little between isometric tasks involving different neck muscle activation patterns with equivalent activation levels. For example, similar VCR responses were observed in the sternocleidomastoid muscle during isometric contractions in flexion and yaw, as well as in the splenius capitis muscle during isometric contractions in extension and yaw. This low sensitivity to the combination of muscles being activated highlights the flexibility in neck muscle control, where the activation of a group of muscles does not have strong reciprocal (inhibitory or excitatory) connections to other muscles is related to the bandwidth of the mechanical system under control, which for the head-neck system during voluntary movements and imposed force perturbations is up to 5 times wider compared to the whole body during standing balance . Although modulation of higher frequencies (up to 70 Hz) in neck muscles was observed in some conditions , this part of the neck vestibular reflexes frequency response were maintained even in conditions where the muscle did not directly contribute to postural control. The absence of a reduced high-frequency VCR response with the head fixed parallels the response of the electrically evoked VOR, which occurs regardless of the functional or postural state of the head and body (Aw et al., Furthermore, the VOR is subject to suppression during gaze shifts and gaze pursuit, where an intact VOR would be counterproductive to the intended change in gaze or ongoing tracking (see review, Cullen and Roy, The data reviewed here have important implications for understanding the role of the vestibular system in controlling posture and gaze. Indeed, studying separately individual effectors controlled by the vestibular system would lead to diverging conclusions regarding its role in a specific task. A similar statement could be made for the examined bandwidth of the vestibular reflexes. We instead propose an integrative approach that simultaneously examines the complete frequency response of vestibular reflexes in appendicular, spinal and extraocular muscles. Using combinations of robotic systems and electrical vestibular stimulation, it may be possible to evaluate the relative dependence or independence of vestibular input on axial and appendicular systems. The evaluation of vestibular input expressed in multiple motor systems will provide a more comprehensive understanding of how the vestibular system contributes to the complex behavioral tasks of daily living.G.P. Siegmund owns shares in a consulting company, and both he and the company may derive benefit from being associated with this work. All other authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Dear Sir,The revolutionary forces at play in medical education are full steam ahead. From PBL, TBL and the flipped classroom, which has barely had time to cement itself we might add, we are now faced with the prospect of massive open online courses (MOOCs) and synchronous massive online courses (SMOCs).MOOCs or massive open online courses are still fairly premature in the field of medicine with limited courses currently available. Examples in present use include Introductory Human Physiology by Coursera and Fundamentals of Clinical Trials courtesy of edX. From a learning perspective we can only hypothesize the potential benefits of such a movement. For instance, students may gain an enhanced understanding of pathology not common to their resident country or gain further understanding of hard to grasp concepts by clinicians renowned in their field of expertise.Whilst medical schools are not currently offering academic credits for MOOC courses, the American Council on Education has certified four Coursera courses so that However, just like the flipped classroom, the dust has been barely left to settle following the arrival of MOOCs as a result of the recently announced SMOCs which may hold greater promise . GoslingWhatever the future holds for medical education, it is sure to continue to amaze many an instructor and we for one feel it should be embraced wholeheartedly."}
+{"text": "Plain English summaries (PESs) are a valuable tool for making research findings available and accessible to patients and the public. They provide brief descriptions of research written in non-specialist language. The National Institute for Health Research Journals Library (NIHRJL) currently requires authors to provide a 250 word PES. This is published online as part of the final, open-access report. Practice varies among other funders and journals, some of whom employ independent external writers (IEWs) for this purpose.To compare ease of reading and understanding of PESs written by clinical trial teams and an IEW.Forty reports undergoing the editorial process for the NIHRJL will be included in the study. The PES for each report will be revised by authors in line with detailed guidance and edited by an IEW.Ease of reading will be measured using the Flesch Reading Ease score. Scores range from 0-100; higher scores indicate text that is easier to read. Ease of understanding will be assessed by asking public reviewers to read a selection of PESs and rate them from 1 (did not understand) to 4 . Statistical comparison of group scores will be reported.High quality PESs are a priority for dissemination of clinical trial results to patients and the public but it is currently unclear who is best placed to produce them. Results of this study will inform future practice for the NIHRJL and will be relevant to all agencies communicating trial findings to patients and the public."}
+{"text": "Given a perfect superposition of Generation of non-classical states of light compatible with atomic quantum memory has been an outstanding challenge driven by various applications in quantum information processing On the other hand, several specific quantum algorithms have been discovered , we denote by We want to end with a summary and a discussion of a number of open questions related to the proposed algorithm and its possible applications to problems beyond the quantum memory. The underlying idea of the proposed algorithm is very general and consists of employing Hamming distance to transform the superposition state into a specific quantum state. The crucial advantage is that any required quantum state can now be exactly created using these simple operations. Novel type of applications can be formed in quantum storage protocols based on photon echo techniques. Also, because the dynamical model used here can be equally realized in multi-qubit models, an exponential propagation of quantum excitation along a large number of qubits is in principle possible."}
+{"text": "Diabetes mellitus is increasing, so it is relevant to plan services to prevent vision loss from diabetic retinopathy. There are 3 target groups to consider:the communitypeople known to have diabetes mellitus (DM)people with sight-threatening diabetic retinopathy (STDR)In order to provide the relevant services that each group needs, it is useful to undertake a situational analysis to set priorities and develop an action plan.We must work out how many people need the two key services required to address DR: case detection and treatment of sight threatening retinopathy .Case detection. How many people with diabetes will need an annual eye examination?Treatment. How many people with sight threatening diabetic retinopathy will need treatment?In order to answer question 1, we need to estimate:The size of the population (over 20 years old) in the country or district proportion of the population (over 20 years old) with diabetes mellitus (available at www.diabetesatlas.org)The number of people with diabetes who will need an annual eye examination.Then it is straightforward to calculate the total In order to answer question 2, we need to estimate:The number of people over 20 years old with diabetes (the answer to question 1)proportion of people with diabetes who have sight-threatening DR (STDR). A reasonable estimate in low-income countries is 10% of all people with diabetesThe Summarise your answers to questions 1 and 2 in Knowing what the need for services is, estimate what is being done at present and summarise this in The following activities all help to ensure that everyone with diabetes and STDR are able to access screening and treatment services. They are ordered, starting with activities conducted by the eye health team and then radiating out into the general hospital and eventually into the community.Which of the following are currently being done, at local and national level?Diagnosing and treating patients with STDR attending an eye clinic (with/without outreach clinics)Examining all patients with diabetes for STDR at hospital diabetes clinics (with/without outreach clinics)Creating a register of all known people with diabetes mellitus and calling people for an annual eye examinationIdentifying people with undiagnosed diabetes and STDR in the communityEducating health professionals about diabetes and STDREducating the communityWho are the health professionals able to offer screening services?Who are the health professionals able to offer treatment for STDR?What equipment is available for diagnosis?What equipment is available for treatment?What management protocols are available?Is there a database of patient records?What is the financial support?What is the leadership for the service?What statistics and information are collected and monitored What patient information materials are available?Who are the stakeholders? Having completed this situational analysis, you can decide what are the next priorities and what are the important actions that need to be taken to improve the DR service."}
+{"text": "In Pakistan, Contraceptive Prevalence Rate (CPR) among married female youth is 17.4% and even lower in rural and slum areas leading to rapid population growth on one hand and poor health consequences on the other. The study was conducted to explore family planning service providers\u2019 perceptions regarding use of different contraceptive methods and to identify factors that are influencing their use amongst currently married youth aged 18-24 years in slum areas of Karachi.Qualitative exploratory study design was adopted and a total of ten in-depth interviews were conducted with family planning service providers of the area. For content analysis coding of transcribed interviews was done and then categories were made and furthermore themes were derived.Our findings revealed that family planning service providers perceived that there is low use of contraceptive methods amongst youth of study area and low usage could be due to side effects; myths and misconceptions; lack of proper knowledge about different contraceptives; unmet needs of contraceptives; socio-cultural and religious factors about different contraceptive methods and family planning service providers own biases against or for use of contraceptive methods amongst youth in the study area. However better education of youth and family planning service providers\u2019 improved knowledge about counseling and use of contraceptive methods was perceived to be associated with improved use of family planning methods amongst youth of the study area.Exaggerated side effects and socio-cultural factors could be important influences leading to low use of family planning methods amongst youth of Karachi. Some policy initiatives are the training of lady health Workers, lady health visitors, physicians and staff of the pharmacies for counseling youth in the correct use of family planning methods. Being one of the poorest and sixth populous countries of the world , PakistaTo date voluminous studies have explored the determinants towards the use of different contraceptives methods among married couples across the globe . FurtherThe study was conducted in Korangi town (UC 2 and 3), Karachi, Pakistan from July to September, 2010. Exploratory qualitative study design was adopted using in-depth interviews with family planning service providers. In order to capture as many aspects and views of family planning service providers, the participants were chosen purposively .The study participants included: Family Planning Service Providers from the 2 Union Councils of Korangi town. They included 2 physicians, 4 Lady Health Visitors, 2 Lady Health Workers and 2 medical store drug providers. Lady Health Workers working in the area facilitated the identification of family planning service providers. Inclusion criteria being family planning service providers of UC 2 and UC 3 of Korangi town, Karachi, Pakistan and those who gave consent for IDIs.A topic guide was used to guide the discussions . The entContent analysis was the strategy used for analyzing the transcribed interviews. We considered a meaning unit as words, sentences or paragraphs containing aspects related to each other through their content and context . TherefoStudy was approved by Ethical Review Committee (ERC) of Aga Khan University (AKU) Karachi, Pakistan. The hard copies of the interviews and all audiotapes were kept in lock and key. Verbal and written consent was sought from all study participants.Transcription was done on the day of the interview to ensure that there is minimum time lapse so that the data on tapes is transcribed to the paper with the fresh memory. All of the authors were competent in the local language and the cultural meaning of the content . Recordings and notes were also consulted for any verification at the end of the interview with the interviewees. Interviews were transcribed into Urdu and then translated to English by the Principal Investigator. Credibility was maintained by selection of context, informants and well-structured in- depth Interviews. Conformability was achieved through separate coding by the first and third author, whereby similarities and dissimilarities were discussed. Consensus on codes and categories was thereafter reached. During the analytical process, the first and third author thoroughly discussed the structure of codes, categories and themes. All authors read, discussed and agreed on the final categorization and themes. Two of the authors (NN and SA) agreed in the way the codes and categories were labeled and categorized, which in later stages were verified by the other two authors (FH & NS). Transferability was achieved through purposive selection of informants with different background characteristics such as profession educational level and experiences. Dependability was enhanced by conducting the IDIs over 2 months, to ensure that the phenomena under study did not change. All IDIs were conducted in Urdu, moderated by local researchers well versed with the context, transcribed into English by the principal investigator and analyzed within a week. Verification of transcriptions was done by the first author who listened to the audio-tapes twice. The quotations given in the study are intended to facilitate the reader\u2019s evaluation of the creditability of results (JQM 2006).Results were obtained by content analysis keeping in mind objectives of the study. Two underlying themes emerged during the analysis: barriers of family planning methods use and facilitators of family planning methods use . For thiOn Content analysis, there appeared to be multiple determinants of use of contraceptive methods as shown in Exaggerated side effects of different contraceptive methods were considered as one of the main reasons for discontinuation of Family Planning methods.Family Planning service providers shared that Intra Uterine Contraceptive Device (IUCDs) has most of the side effects.\u201cMany women complain that IUCDs make their husbands uncomfortable during intercourse because of the thread that protrudes. Therefore, IUCDs are not well liked by the general population.\u201d (\u2026.interview 9)\u201cMost women taking OCPs complain of dizziness & nausea. Even if she convinces them to take the pills they, automatically, get turned off because of the side effects.\u201d (\u2026.interview 3)Likewise most of the family planning service providers were of the view that youth of the area think that vasectomy is causing physical weakness in males and tubal ligation is the causing weight gain in females as a side effect.Family Planning service providers of the area shared that myths and misconceptions about different contraceptive methods are also potential factors for not using contraceptive methods amongst youth in the study area.\u201cIn general, men do not realize or care for the problems that their wives are going through. They do not agree to undergo vasectomy as they are afraid it will make them impotent\u201d \u2026. (interview 2)\u201cMany of the women shun IUCDs because they believe that IUCDs can cause infections, destroy the uterus somehow & that is can travel up from the uterus into the abdomen.\u201d \u2026. (interview 7)\u201cUsually they don\u2019t have misconceptions about injections. If they have a big family, they frequently use injections\u201d \u2026. (interview 4)\u201cAfter using family planning method, the ovary of females will become dry and then they will not be able to have children \u2026. (interview 10)Majority of family planning service providers shared that youth of the area perceive that condoms cause inflammation, infections and ulceration in both males and females. Most of the Family Planning service providers said that none of the males in the area want to opt for vasectomy as they believe that vasectomy causes physical weakness and impotency.This also emerged as one of the probable determinants for non-use of Family Planning methods amongst youth of the area as some of the Family Planning service providers shared what youth of the area perceived\u201cPills are difficult to remember & these women become very upset often missing a dose & do not understand what to do next.\u201d \u2026 (interview 6)All the FP service providers were of the view that education is one of the most important factors in improving CPR. Moreover some of the FP service providers shared that certain ethnicities as Bengali and Sindhi believe that big family size is associated with more respect in the society.Most of the family planning service providers shared that Pakistan is a patriarchal society as shared in the quote by an interviewee.\u201cRole of mother in law and husbands is pivotal in decision making for the use of contraceptives.\u201d \u2026 (Interviewee 8)Family planning providers also shared that some people of the area believe that if someone prevents pregnancy, Allah makes them ill in some other way for example blood pressure and diabetes and there is a common belief that Family Planning is forbidden in our religion.One of a Family Planning service provider shared that\u201cYouth of the area thinks that their prayers will not be accepted if they use Family Planning methods\u201d \u2026 (Interviewee 5)Some of the family planning service providers have their own biases towards the use of contraceptive methods as stated by one of the interviewee.\u201cI don\u2019t recommend contraceptive methods like IUCD, injections and pills to youth females and maximum I council them for using condoms or natural family planning methods\u201d \u2026 (Interviewee 1)Better knowledge of Family planning service providers and improved education of youth are facilitating the use of family planning methods as discussed below.Some of the family planning service providers themselves identified that knowledge of the family planning service providers about counseling youth for use of contraceptive methods is very important in this aspect and facilitate the use of these methods amongst youth of the area.\u201cInjectables are not liked by women of the area; tend to cause excessive bleeding, due to hormonal imbalance. Therefore, does not prefer injectables to anemic women.\u201d\u2026 (Interviewee 8)\u201cMisconception is rampant among the females who come to her is that IUCD moves up to the stomach. I, myself believe that mostly what actually happens is that the IUCD is expelled during menstruation and these women do not realize it.\u201d\u2026 (Interviewee 1)All the interviewees unanimously agreed that mostly, if the client seeking family planning services is better educated at-least (uptill grade 10), they will understand the importance of family planning methods use and will be much more compliant to the use of contraceptive methods.This paper has tried to add to existing evidence on factors that support or constrain the use of family planning methods and two broad themes were identified as barriers to and supporters of the use of family planning methods amongst youth of study area. We have identified many demand side barriers to the use of family planning methods use as mentioned in the study where the author has shared that demand side barriers to health services access are abundant in low- and middle-income countries and there is a lack of evidence on ways to reduce them . In our In family planning service providers\u2019 perceptions, illiteracy was also identified as one of the constraining factor, whereas better education of youth were identified as a supporting factor towards the use of family planning methods use. It is thought that better educational completion operates through multiple factors to influence family planning service use, encompassing female decision-making power and increasing awareness of health services . Women with no education were most likely to report psychosocial barriers to the use of family planning services. A woman\u2019s involvement in education may also increase her exposure to the health system and improved use of services . ExploraThis study addresses the reproductive health issues of youth in a community setting and in depth interviews responses explicated from Family Planning service providers were valuable and based on their observations & experiences, which is one of the strength of this study. Moreover findings documented by this study would assist in planning and undertaking policy initiatives to streamline recommendations for improving the use of different contraceptive methods amongst youth in slums of Karachi. It was a not a large population study due to paucity of funds and time due to which it has certain shortcomings, the important of which are: few interviews with the respondents were not conducted in depth due to increase patient load at their offices; extreme hot weather in the month of data collection and some of respondents unwillingness to give more time for interview. One weakness of the study might be that the data were initially collected in Urdu, translated to English and analyzed in the English version. However, a multidisciplinary team with experienced qualitative researchers took part at all stages of the research process.In the light of findings of the study and suggestions by the interviewees during in-depth interviews, some of the recommendations to address the low use of contraceptives are that there is a need to disseminate correct information on the use of contraceptive methods. It will help in removing related misperceptions about Family Planning methods through easy to understand booklets in local languages. The initiative should also include other opinion leaders in the society such as prayer leaders, school teachers, local political and social workers. It would help change the societal mindset regarding many aspects such as baseless myths. It will also help to rectify religious and cultural misperceptions. Some urgently needed policy initiatives to improve the use of contraceptives are: lady Health Workers, lady Health Visitors, physicians and staff of the pharmacies are needed to be trained for proper counseling for correct use of family planning method. In conclusion, contraceptives use amongst youth is low in the study area; in addition lack of appropriate knowledge about contraceptives contribute for low CPR among the youth and side effects; some religious and socio-cultural beliefs about different contraceptive methods could be potential determinants contributing to low use of contraceptives."}
+{"text": "Gliomas, the most frequent tumours occurring in the CNS, are defined and graded on the basis of histological features to predict prognosis and management. Owing to biological heterogeneity, the histological diagnosis and expected clinical outcome do not match in a significant number of patients. The combination of imaging and gene expression, referred to as \u201cradiogenomics,\u201d has the potential to give insight into tumour biology that would be difficult to acquire from either technique alone.\u2022 Throwing light upon individual imaging feature and biological/ molecular alterations, analyses that may detect subsets of morphologically identical tumours with different clinical behavior (diagnostic markers).\u2022 Classification and grading of Gliomas as per Haarlem consensus.\u2022 Imaging features of glioblastomas may correlate with molecular mutations.\u2022 Identification of imaging parameters that has the potential as a non-invasive biomarker for common molecular mutations associated with gliomas and their associated clinical impact.\u2022 Review of current radiogenomics literature.\u2022 Given the noninvasive nature of medical imaging and its wide use in clinical practice this approach facilitates the association of complex molecular signatures with readily identifiable imaging characteristics.\u2022 As we move toward a more individualised approach to therapy for glioblastoma on the basis of its specific genetic and biochemical features, radiologists may contribute to the future development of targeted agents for treatment of glioblastoma."}
+{"text": "Good information on the harm of a drug is vital to inform risk-benefit decisions and undertake robust cost effectiveness analysis. Clinical trials reported in peer-reviewed articles are not useful for this purpose ,2. RegulInclusion: Antidepressants/antiepileptic brand drugs evaluated in randomised trials of neuropathic pain and marketed in the US and Europe. Documentation was obtained from the European Medicines Agency and Food Drug Agency.Twelve brand drugs with matching SmPC and USPI were included. The number of harms ranged from 56 to 265 for SmPC and 65 to 425 for USPI Table . On averIt is expected that the harm profile in the product information for the same drug should agree. This study found a lack of consistency for the same drug based on the same central data available to the pharmaceutical company, and demonstrates the overwhelming impact of using arbitrary rules for reporting and differing dictionaries to code harm data. This problem can only be exacerbated across drugs.The development of CORE harm outcome sets by drug class would improve the usability of this information by facilitating comparison of harm profiles across drug which would support informed risk-benefit decisions and allow robust cost effectiveness analyses."}
+{"text": "Every day seems to bring a new development in the treatment of chronic total occlusions (CTOs). The interest in this field is to be welcomed, given the rapidly increasing procedural success rates, in spite of attempting CTO percutaneous coronary intervention (PCI) in increasingly complex patients and lesions .Yet the barriers to treatment for this group remain formidable and include sometimes long procedure duration and cost , perceptGiven that angiographic markers of complexity predict longer procedures with higher incurred costs, it may be that the higher complexity causes a reflection on the prognostic benefit of the procedure that does not seem to defer non-CTO PCI . Yet it This series of commissioned articles aims to review the evidence base of CTO PCI, define the evolution of techniques with particular reference to the pathophysiology of the disease and describe how techniques have evolved to meet the challenges referred to above. It defines the role for pre-procedure planning in treating this complex lesion subset, describing the role for adjunctive imaging both in planning and in ensuring optimal procedural results. The chronicity of these lesions carry specific challenges and newer techniques for treating coronary calcium and ensuring both equipment delivery and optimum stent deployment are also covered.It is clear that success in the CTO PCI environment can no longer be claimed by individual, relatively small series, but should be viewed more in terms of growth in the overall percentage of CTO PCI patients. The challenge is to ensure that anatomical factors do not deter physicians from percutaneous revascularization where clinical indications support it."}
+{"text": "Overcrowding in emergency departments is a global issue, which places pressure on the shrinking workforce and threatens the future of high quality, safe and effective care. Healthcare reforms aimed at tackling this crisis have focused primarily on structural changes, which alone do not deliver anticipated improvements in quality and performance. The purpose of this study was to identify workforce enablers for achieving whole systems urgent and emergency care delivery.n\u2009=\u2009102); a qualitative survey (n\u2009=\u200948); and a review of literature and analysis of policy documents including care pathways and protocols.A multiple case study design framed around systems thinking was conducted in South East England across one Trust consisting of five hospitals, one community healthcare trust and one ambulance trust. Data sources included 14 clinical settings where upstream or downstream pinch points are likely to occur including discharge planning and rapid response teams; ten regional stakeholder events contains supplementary material, which is available to authorized users. Overcrowding in emergency departments is a global issue, which places pressure on the shrinking workforce and threatens the future of high quality, safe and effective care \u20134. DespiUrgent and emergency care refers to the range of healthcare services available to people who need medical advice, diagnosis and/or treatment quickly and unexpectedly . The risPressures arising from increased workloads and limited resources are diminishing the desirability of careers in emergency medicine. This is exemplified by fewer practitioners choosing to pursue a career in emergency medicine citing poor working conditions, work-life balance, a target-driven culture, and the lack of 24-hour consultant support as reasons for their lack of desire to engage in this work . As a reWhole system approaches to urgent and emergency care have garnered attention as strategies to alleviate overcrowding in emergency departments (ED) , 8 but tHow do we solve the current workforce crisis in emergency departments creatively to promote sustainable transformational change?What should the urgent and emergency workforce of the future look like?A descriptive multiple case study design was used to clarify gaps and pinch points in the various contexts of the urgent and emergency care pathway across primary/community, secondary and tertiary settings. This design facilitates empirical investigation of phenomenon within real life contexts to answer \u2018how\u2019 and \u2018why\u2019 questions, especially when the boundaries between the phenomenon and the contexts are not evident . A multiData collection and analysis were informed by systems thinking which provides a rational process for mapping and understanding relationships to address complex issues in a holistic way. Checkland defines a system as a complex entity at the core of which is the concept of a whole that can adapt and survive within limits in a changing environment . The whoThis study was based on the concept that achieving transformational change in complex systems also requires attention to patterns that drive thinking and behavior in order to promote a sense of shared responsibility that mirrors ways of working among interdependent partners . SystemsData were collected from multiple sources using the fourth generation stakeholder evaluation approach . The metWhat is urgent and emergency care?What are the redesign, innovation and policy issues?What are the required standards?What are the required competences?What factors enable or inhibit these?What are service user perspectives on urgent care?Four methods were used to gather qualitative data to gain clear understanding of issues emerging in urgent and emergency care. Firstly, a review of evidence relating to urgent and emergency care delivery including care pathways and protocols was undertaken to understand international and national workforce implications. The review was guided by six questions:Competence was defined as acquiring and using evidence-based scientific and humanistic knowledge and skill in the application of therapeutic interventions in the practice setting .Understanding of urgent and emergency careUltimate purpose of urgent and emergency careHow purpose is achievedCurrent urgent and emergency care pathwaysPotential or future urgent care pathwaysEnablers and inhibitorsKey competences required for current and future integrated urgent and emergency carePerceived gaps in pathway competenceKey roles in urgent and emergency careWhat would happen in an effective integrated urgent and emergency care system and how effectiveness would be recognized? This specific question drew on the concept of \u2018the miracle question\u2019 from solution focused approaches to envisage options for achieving an effective system in the future .Other considerationsSecondly data were collected from ten regional stakeholder events held in South East England across one Trust consisting of five hospitals, one community healthcare trust and one ambulance trust. The events were widely publicized using both electronic and paper flyers which included the research questions. The stakeholder events were facilitated using a claims, concerns, and issues approach to pave At each stakeholder event, discussion points and other verbal contributions were noted on separate flipcharts for each question to enable collaborative data analysis. Some participants gave accounts of their experience with or within the service to demonstrate the gaps and pinch points in the service and or in the workforce. These accounts were themed but also maintained as case examples , acute services (n\u2009=\u200910), ambulatory care (n\u2009=\u200913), residential and nursing homes (n\u2009=\u20096), ambulance services (n\u2009=\u20094), clinical commissioning groups (n\u2009=\u20093), service user groups (n\u2009=\u200916), voluntary sector workers (n\u2009=\u20093), social services and enablement services (n\u2009=\u20096) and Higher Education Institutes (n\u2009=\u200911).Participants in the study were urgent and emergency care stakeholders including representatives of service user groups. The 102 participants that attended stakeholder events organized across the region included representatives from primary/ community services (13), accident and emergency departments (n\u2009=\u20098), community and hospital pharmacists (n\u2009=\u20091), specialists and allied health professionals (n\u2009=\u200930), Ambulance staff/ paramedics (n\u2009=\u20091), public/patient groups (n\u2009=\u20092) and residential and nursing homes (n\u2009=\u20096).Forty-eight respondents completed the online survey that targeted underrepresented groups at the stakeholder events. These included general practitioners 111 urgent care telephone advice service; hospices; minor injuries units; mental health services; rapid response teams; integrated care24; and hospital at home.The multiple data sources facilitated triangulation, enhanced the validity and reliability of the case study and provided holistic understanding of existing challenges in the urgent and emergency service and workforce.Primary data analysis involved collaborative thematic analysis with participants at each stakeholder event to empower participants to co-create a shared purpose . CollaboThe research team used a similar process to generate themes from the literature review, qualitative online survey and process mapping activity. Themes from each of the four datasets were maintained separately during primary level data analysis to enable cross data consistency checks .The research team completed secondary level data analysis by triangulating themes from all datasets and synthesizing them in relation to broad system components , 27. TheThe data analysis process entailed distinguishing characteristics of a whole system approach to urgent and emergency care and developing a representative framework of system and workforce development enablers and outcomes. Data were consciously organized using systems assumptions, into enablers (inputs) and desired outputs for whole systems urgent and emergency care delivery . The synThemes from the miracle question about an ideal effective integrated urgent and emergency care system yielded the criteria for whole systems urgent and emergency care. Participants characterized an urgent and emergency care whole system as one that is safe, sustainable and person-centered; based on best evidence and practice standards; integrates health and social care; focuses on quality and safety rather than targets; is tailored to meet needs in the local population; and involves interdependent partners working together towards the same purpose. Additional file fragmented working without clinical systems leadership causing duplication and waste;a lack of any integrating competence framework to enable staff recruitment, development and retention across all contributing partners; anda lack of team approach to the competences needed to cope with urgent and emergency care demands across the health economy.Gaps and challenges identified in the current service informed system and specific workforce enablers, building on what works and envisioning what is required for whole systems urgent and emergency care delivery. Three overarching themes prominent in the process mapping gap analysis matrix emerged from all datasets:We hypothesized that whole system enablers identified across datasets have implications for workforce development at every level ranging from provider-user interfaces; career development across urgent and emergency care; systems leadership; human resource management through to infrastructure development; public information systems, and commissioning.There is a lack of integrated pathways and too many clinical commissioning groups to work with.Participants perceived commissioners to be the gatekeepers for a common strategy that models integrated working at the commissioning level and works to dismantle barriers that drive silos across the system particularly around the use of budgets and information in acute and primary care settings. One urgent care clinician commented:Additional file Recruitment has been a real problem for our trust. staff are moving away from the trust towards general practice. Staff need to have acute experience and know how the systems and processes work in both the community and hospital setting. I often feel that I could facilitate early discharge if a discussion was held between ourselves and the ward staff.Core challenges across the whole health economy were identified as both recruitment and the retention of staff and that these need to be addressed in a joined up way through system and specific workforce enablers. For example, a lead for a community healthcare team stated:Three specific workforce enablers emerged as most significant not only for achieving a whole system approach to workforce transformation, but also for addressing issues pertaining to staff recruitment and retention. These were: i) clinical systems leadership, ii) an integrated career and competence framework and iii) facilitators of work based learning.\u201cIntegrate experienced clinicians into the system. Management needs to be much better in an integrated system. Currently ridiculously fragmented\u201d .At the moment there are many senior managers and I think their role and expectations should be reviewed. There always seems to be many meetings/discussions but there are few actions generated and these are not adhered to in a timely manner. There needs to be a greater emphasis on clinical skills and practice development so that new services/skills can be explored and supported in practice (emergency care nurse).Secondary analysis of data overwhelmingly indicated the need for a much stronger focus on leadership with less emphasis on management. Themes from all datasets denoted that clinical systems leadership would complement leadership for commissioning urgent and emergency care services. This is reflected in statements made by some of the participants:Clinical systems leadership is a concept we assigned to the leadership approach that drives integration across boundaries based on specialized clinical credibility working with shared purposes to break down silos and deliver person-centered, safe and effective care with continuity. Clinical systems leadership was linked to the ability to draw on expertise in a number of different areas to enable contributing partners to work together towards a shared purpose and to create a culture that values and retains staff. The required skill identified in the data encompasses: clinical expertise and credibility for a specific client group; consultancy functions that share expertise within the wider system; leadership for culture change; developing, improving and evaluating person centered care; and creating a learning culture that uses the workplace as the main resource for learning.There is a need to think productively, are the right resources in place, clear roles and responsibilities. Identify what skills and jobs could be done by administrative or healthcare support workers rather than removing a nurse or qualified healthcare professional from hands on care.Cross data analyses suggested that a single integrated career and competence framework would enable staff recruitment and retention and also empower staff to know how the systems and processes work in both the community and hospital settings. One emergency care doctor emphasized:Assess Treat (treat people appropriately and promptly for their urgent and emergency care needs within different contexts)SORT people appropriately within or across the system and its different contexts in a timely way)Assess, Treat and SORT constituted the single integrated career and competence framework we developed outlining key competences performed in any context by interdependent partners. Themes relating to competences required for current and future integrated urgent and emergency care from each of the datasets were triangulated to identify the key outcome competences. That is, what staff would be expected to do in the workplace underpinned by essential knowledge and understanding. We created three categories for the key competences to reflect the person\u2019s journey through the urgent and emergency care pathway.The key competences were mapped against national competence frameworks identified in the literature for professional groups working across the urgent and emergency care system to validate the themes generated for the single integrated career and competence framework. Additional file A multidisciplinary career and competence framework for urgent and emergency care demonstrates whole systems working in managing the patient pathway and experience in any context - promoting an interdisciplinary team approach underpinned by shared risk and integrated information and finance systems.Case example 1 illustrates how a learning disabilities consultant undertaking a program to develop expertise in the functions of clinical systems leadership works collaboratively across boundaries to ensure that a person with learning disabilities and complex needs receives appropriate care and avoids hospital admission. This case example also illustrates effective use of resources in place, and attributes of systems leadership with a focus on person centered, safe and effective care. Case example 1 was an account of the participant\u2019s experience with the service shared at one of the stakeholder events.A nurse working with people with learning disabilities in the community and an aspiring clinical systems leader at the hospital have been corresponding for two weeks about a person with a learning disability and an autistic spectrum condition. The person had recently been discharged from hospital to a residential care home having had a fall and a fractured ankle. The community nurse contacted the hospital about the individual\u2019s loss of skills and mobility over the last four months along with disturbances in behavior that did not appear to be mental health related. A closer review of the records indicated that the individual had experienced two admissions and three visits to the emergency department not quite triggering the learning disability repeated admission pathway (people with learning disabilities admitted through the accident and emergency department three times or more). Diagnostics also suggested a possible malignancy. The aspiring clinical systems leader linked the community nurse with an orthopedic consultant and the general practitioner via email, encouraging coordinated discussion about the individual, which led to swift conclusion regarding the possible diagnosis of cancer and further discussions about interventions for behavior problems and loss of skills. The individual did not require another emergency admission due in part to the collaborative practice across several organizational boundaries and the individual\u2019s care being coordinated effectively.Case example 2 illustrates how the single career and competence framework can be used in everyday practice for diverse contexts and roles to facilitate work based learning and career development. Case example 2 was developed by the research team to illustrate how the Assess, Treat and SORT can be used to support career development.A community nurse working part of an integrated discharge team plays a vital role in preventing unnecessary hospital admissions by liaising with others to make sure that older frail people receive the care and treatment they require in a home setting. For example, pain management, treatment for urinary tract infections and end of life care planning, taking into account the individuals wish about their preferred place of death.Formerly an emergency care nurse, the community nurse in question uses the integrated career and competence framework to undertake a self-assessment and submit a portfolio of evidence to a local university in order to gain academic accreditation for prior learning and development in the workplace. The community nurse is able to pursue a blended Master of Science advanced practice program at the university tailored to development needs identified. By demonstrating advanced skills in clinical assessment, history taking and decision making in addition to a prescribing qualification, the community nurse gains 60 academic credits towards accreditation for prior experiential learning at advanced practitioner level.Teams from the different organizations involved are often very tribal in their behaviors, with a low level of trust. People often do not understand their colleague\u2019s role. This is counterproductive and negatively impacts on team working. The patient experiences disjointed care. Suggest more joint training across organizations and multidisciplinary events to build trust and understanding.Facilitators of work based learning emerged as an essential enabler for supporting the urgent and emergency care workforce competence and career development while using the workplace as the main resource for learning and development. Evidence from the data suggested that facilitating learning in the workplace would enable role clarity and a team approach to the competences needed for urgent and emergency care demands across the various contexts. A community matron working with people with long term conditions observed:Workplace mentors and supervisors that facilitate learning, development and improvement in a holistic way embrace the integration remit across the system and meet the learning needs of multi-disciplinary teams aligned to the single integrated career and competence framework. Participants evoked that this can be achieved through rotation opportunities which enable staff to become familiar with the whole system, and the talents and contributions of interdependent partners.Whole systems approaches to tackle overcrowding and promote collaborative working to improve people\u2019s experience and health outcomes are more compelling in an era of increased demand and finite budgets. The objective of this study was to identify workforce enablers for achieving whole systems urgent and emergency care. Aligning workforce planning and development with population healthcare needs is crucial but complex, especially in light of changing needs in an aging population that present with a complex range of mental and physical morbidities , 36. HowThe most consistent finding was the need for strong systems leadership capable of enabling the creative reshaping of urgent and emergency care services while coping with change. Systems leadership is often presumed to be the remit of commissioners of healthcare services however Results of this study indicate that system redesign and successful implementation is facilitated through enabling the workforce to acquire competences needed to cope with complexity and changing models of care . In addiWorkplace facilitation spans a number of purposes including learning, development, improvement, inquiry, knowledge translation and innovation . ResultsThis study illuminates whole systems working which involves integrating all system elements including structures, processes and patterns that drive thinking and behavior in the workplace to achieve transformational change.The collaborative and inclusive approach used the study demonstrates a partnership drawing on providers\u2019 and users\u2019 experiences to achieve shared direction and valued outcomes. This approach is most likely to obtain and sustain positive change in the delivery of care.Nevertheless, it is probable that stakeholder events may have inhibited freedom of expression as opposed to user only groups. While this resulted in powerful case studies to illustrate an ideal system, the same drawback may have also influenced discussions with junior staff involved in delivering urgent and emergency care.In this study, participants agreed that whole systems urgent and emergency care allows for the design and implementation of care delivery models that meet complexity of population healthcare needs, reduce duplication and waste and improve healthcare outcomes and patients\u2019 experiences. For this to be achieved emphasis needs to be placed on holistic changes in structures, processes and patterns of the urgent and emergency care system. Often overlooked, patterns that drive the thinking and behavior in the workplace directly impact on staff recruitment and retention and the overall effectiveness of the organization. These also need to be attended to for transformational change to be achieved and sustained. We recommend further work to refine and validate the integrated career and competence framework by testing competences against all key roles in different contexts across interdependent partners contributing to the system; and to identify standards for integrated facilitation in the workplace to grow the capacity of work based facilitators and ensure consistency in quality and effectiveness of this role.NHS, National Health Service; SORT, support discharge, organize admission, refer and/ or transfer; UK, United Kingdom"}
+{"text": "Somatic integration of synaptic inputs relies on the propagation of currents arising from sources across the dendritic tree. Whilst active processes strongly contribute to current flow in most neurons, understanding the passive backbone to transmission allows a better intuitive grasp of dendritic function; the results of Rall in highlighting the properties of cylindrical dendrites are of fWe have derived an asymptotic approximation to the voltage in dendrites with an arbitrary taper profile using the insight that voltage attenuation is substantially faster than radius change in realistic morphologies Figure . This reA particularly interesting implication of these results is that the optimal taper profile to proximally transmit maximum voltages can be found by variational calculus, matching results from non-parametric numerical optimisation which predicted a quadratic form for the diameter taper Figure 3]..3]."}
+{"text": "Open access journals provide an opportunity to read quality research articles through internet across the world. Concern has been shown as to the standard of articles published in open access journals and their peer review process but same has been refuted by a study of Bj\u00f6rk and Solomon.[1] They have concluded that scientific impact of open access journal is now approaching that of subscription journals.In paediatric surgery, the impact of open access journals has not been evaluated presently but hopefully as they receive impact factor in future, this issue shall be addressed. There is encouraging trend towards addition of open access journals of paediatric surgery to international databases which in itself reflects quality of such publications. But unfortunately, most of the open access journals originate from developing countries. Few of these are \u201cElectronic-only\u201d publications. This takes care of cost of publication and therefore become economical and viable option on the longer run. The foremost issue is why journals from technologically advanced countries published by giants in the field of publications still charging huge amount both from the contributors as well as readers. The cost is huge not within the reach of researchers, students, residents etc from developing countries. This amounts to putting hurdles for researchers from developing world where the need of research is most. This gap is now being filled by open access journals and the number of manuscripts being sent to them and their quality has visibly improved. Same trend is apparent in our APSP Journal of Case Reports (AJCR). This is indexed with international databases and we hope to get impact factor soon. We have no conflict of interest as this is an official journal of The Association of Paediatric Surgeons of Pakistan (APSP). There are no subscription and publications charges thus researchers are encouraged to send their quality manuscripts for publication to this journal. Our peer review system further ensures that all submissions are seen by experts in the field to improve standard of the manuscript. We are thankful to all of our contributors and reviewers for their hard work.Source of Support: NilConflict of Interest: None declared"}
+{"text": "This article presents a historical review of the protein structure classification database CATH. Together with the SCOP database, CATH remains comprehensive and reasonably up-to-date with the now more than 100,000 protein structures in the PDB. We review the expansion of the CATH and SCOP resources to capture predicted domain structures in the genome sequence data and to provide information on the likely functions of proteins mediated by their constituent domains. The establishment of comprehensive function annotation resources has also meant that domain families can be functionally annotated allowing insights into functional divergence and evolution within protein families. \u2022We present a historical review of the protein structure database CATH.\u2022We review the expansion of the CATH and SCOP resources with sequence data and functional annotations.\u2022How functional annotation resources allow insights into functional divergence and evolution within protein families. Several studies had shown the extent to which protein structures are conserved during evolution which suggested that 3D structure was a valuable fossil capturing the essential features of an evolutionary protein family and making it possible to identify even very remotely related proteins through similarities in their structures.The first protein structure, myoglobin, was solved in 1958 and for the following three decades the number of structures solved and deposited in the Protein Databank Although global structural characteristics (ie the folds of homologous proteins) are largely conserved during evolution The development of structure comparison algorithms by Rossmann and Argos Pioneering studies of groups of related proteins, by Chothia and Lesk Lesk and Chothia also published a seminal study on the relationship between sequence identity and structural similarity These studies prompted the question of whether other general trends could be gleaned from reviews of protein families. Furthermore, the concurrent expansion of the PDB and development of more robust techniques for comparing structurally distant homologues led several groups to begin classifications of protein families based on structure. The domain was the focus of these studies as it was clear this represented the primary unit of evolution and proteins evolved through duplication, shuffling and fusion of domain sequences in genomes Early structure comparison algorithms exploited rigid body algorithms to superimpose the structures based on the 3D coordinates and the methods struggled to achieve an optimal superimposition between distant homologues. Generally, they failed to converge on a solution where substantial insertions/deletions (indels) and changes in secondary structure orientations had occurred. Therefore in the late 1980s, more sophisticated approaches were explored could easily be confirmed using pairwise algorithms like BLAST This was a considerable task but arguably more reliable than relying entirely on completely automated approaches. Over the last decade or more, much more sophisticated sequence comparison techniques have been developed that can confirm homology even in the midnight zone of sequence similarity (<20% sequence identity). These are discussed in more detail below.In 1997 the SSAP algorithm was modified to increase the speed for large scale comparisons within the PDB, by employing a filter that only allows comparison of proteins having sufficiently similar secondary structure arrangements and connectivity in their common structural core The SCOP classification was largely constructed using manual evaluation of domain relationships although available algorithms such as BLAST Both SCOP and CATH further classified the domain superfamilies and fold groups according to their architecture, where architecture describes the orientation of the secondary structure elements in 3D regardless of their connectivity. However, in CATH this was a formal level in the hierarchy whilst in SCOP architecture was simply an annotation. Finally domains were assigned to protein classes depending on the composition of secondary structure elements ie whether they were all-alpha, all-beta, or mixtures of alpha and beta see SCOP use3ab-initio methods . This is because the linking regions between domains can be quite small and the domain interfaces quite large and complex, especially if one of the domains is dis-contiguous. Therefore, it is difficult to optimize parameters in a way that doesn't lead to under-chopping or over-chopping of large complex multi-domain proteins. The difficulty in capturing the heuristic rules defining domains in an algorithm is illustrated by the fact that an analyses of the performance of these methods, judged using a manually validated benchmark set, showed that all three approaches only agreed about 10% of the time and that frequently there were considerable differences in the boundaries assigned SCOP employs the same physical criteria in recognising domains by expert curation. Furthermore, a putative domain must be found to occur in at least two different independent contexts ie with different domain partners. This means that some protein regions deemed to be domains in CATH are not recognized as such by SCOP until additional data confirms the existence of this domain fused to different domain partners.In 1995 both CATH and SCOP publicly launched their classifications via the web 4Perhaps the most interesting revelation to emerge from the structural classification data was the highly uneven distribution observed in the populations of the fold groups. In 1994 Orengo, Jones and Thornton reported the existence of ten \u2018superfolds\u2019 accounting for nearly 50% of all domain relatives in CATH Based on the number of diverse sequence families found across the SCOP classification and the proportion of all known sequence data that this represented, Chothia postulated that there could be fewer than 1000 fold groups in nature In fact these predictions appear to have been largely borne out by the current data. Twenty years on, there are still only 1300 folds identified in CATH, and sensitive structure prediction tools suggest that CATH and SCOP capture nearly 80% of all protein domains in completed genomes with the remaining 20% being largely membrane associated domains which are likely to adopt relatively few diverse structural arrangements because of the physical constraints imposed by their location. The remaining sequences suggest highly disordered proteins that are not expected to adopt globular folds.The structural classification data and large scale comparisons of domain structures also revealed novel folding motifs common to a large proportion of alpha\u2013beta domain superfamilies in which structures comprise a central antiparallel beta-sheet covered by a layer of alpha-helices a hypothesis that had been speculated as a \u2018russian doll effect\u2019 in the original CATH classification Development of faster structural comparison algorithms like GRATH 5The international genome initiatives which started in the late 1990s and exploited rapid sequencing techniques, enabled the completion of the human genome by the millennium, and resulted in an explosion of sequence data by the turn of the century. This expansion of the sequence data combined with much more sensitive tools for recognizing sequence similarities prompted the recruitment of sequence relatives into the domain superfamilies of SCOP and CATH. Both resources exploited powerful sequence profiles \u2013 known as Hidden Markov Models (HMMs) \u2013 which were built from multiple alignments of sequence clusters in domain superfamilies and used to recognize domain relatives in the genome sequences. Two sister resources were established \u2013 Gene3D These strategies brought about an \u223c100-fold increase in the number of domains assigned to CATH and SCOP allowing more detailed analyses of evolutionary relationships and in particular an understanding of the divergence of sequences and functions within particular superfamilies (discussed more below). Currently more than 50 million sequences are assigned to CATH superfamilies in Gene3D. SUPERFAMILY which has explicitly incorporated completed genome data not yet deposited in public repositories like UniProt and ENSEMBL, has more than 40 million sequences from 2500 completed genomes. This data is likely to expand further in the near future as the metagenome projects bring in millions more relatives from species in diverse environments from around the globe.By recognizing CATH or SCOP domains within protein sequences it was possible to trace the emergence of novel proteins resulting from different domain fusions or fissions. For example, Vogel and Chothia examined changes in domain partnerships in proteins linked to the immunoglobulin superfamily. In worm, expansions in multi-domain architectures were linked to the expansion of structural proteins whilst in fly, expansions involving related domains enhanced the immune system repertoire 6The expansion of CATH superfamilies with sequence data considerably increased the amount of functional data too, allowing large scale studies of the divergence of function within superfamilies during evolution. These studies showed that whilst relatives in most superfamilies shared a common function, in the most highly populated superfamilies considerable divergence of sequence and function had occurred. A detailed study of 31 such diverse superfamilies revealed the molecular mechanisms by which functions had changed Studies of enzyme superfamilies revealed that changes in function were usually associated with variations in the substrate specificity. Changes in chemistry were much less frequent presumably because it is harder to engineer a novel chemistry than to alter the binding site and change the compound on which that chemistry is performed More recent collaborations between the Thornton and Orengo groups have led to the establishment of a new resource, FunTree FunTree enabled much more comprehensive studies of functional divergence in domain superfamilies and confirmed the previously observed trends of conservation of chemistry between parent and child nodes in the phylogenetic tree but also highlighted frequent divergence in substrate specificity within some promiscuous enzyme superfamiles. However, significant changes in chemistry can still occur As regards the structural mechanisms mediating functional change, analyses of some structurally and functionally divergent CATH superfamilies revealed substantial insertion of residues often resulting in additional secondary structural features packed against the common structural core of the domain and appearing as embellishments to that highly conserved core. In some large CATH superfamilies, relatives differ in size by three-fold in the number of residues or more 7More recently, the extreme divergence of functional properties of relatives in some highly populated CATH superfamilies prompted the development of protocols to sub-classify superfamilies into functional families . Comparisons of interfaces across superfamilies showed that functionally diverse relatives were exploiting different surface patches on the structure ie distinct sites, depending on their interaction partner, and that paralogues shared few common interactors. However, quite frequently there was one location that was more frequently exploited by diverse paralogues Recent analyses of changes in catalytic residues in different functional families across 101 well annotated CATH enzyme superfamilies showed that in the majority of superfamilies (\u223c70%) at least two FunFams had significant differences in their catalytic machineries . Unsurprisingly, most of the time these led to changes in the chemistries of the relatives or the substrates being acted upon. However, in 25% of the cases examined the same chemistry was associated with completely different catalytic machineries. This may be a consequence of evolutionary drift from a common ancestor with a particular function, resulting in modified efficiency in one relative which is then compensated by further mutations to optimize the physico-chemical features of the active site 8The SCOP and CATH classifications organize the 3D structure of proteins into evolutionary classifications that have enabled detailed studies of the molecular mechanisms by which new protein structures and functions evolve. The sequence patterns and fold libraries that they provide have enabled prediction of structural relatives thereby providing structural annotations for more than 50 million domain sequences, available on their sister sites and in InterPro Although \u223c20\u201325% of domain sequences in the genomes do not currently map to any structural superfamilies in CATH or SCOP, the analyses of structures solved by the structural genomics initiatives in the States \u2013 which targeted structurally uncharacterized domain families in Pfam for structural determination \u2013 showed that once the structures of these superfamilies had been solved they revealed a structural or evolutionary relationship with an existing fold group or superfamily in SCOP or CATH. In fact, nearly 98% of all new structures deposited in the PDB can be classified in an existing CATH superfamily Over the last few years collaborations between SCOP and CATH have led to mappings between these resources that help to confirm detection of very remote homologues"}
+{"text": "After publication of the original article it was b\u2018The statements presented in this publication are solely the responsibility of the authors and do not necessarily represent the views of the Patient-Centered Outcomes Research Institute (PCORI), its Board of Governors or Methodology Committee\u2019.Also, author Joann Sorra was incorrectly included as Joanna Sorra. The correct spelling of Joann Sorra\u2019s name is included in the author list of this erratum."}
+{"text": "The Continual Reassessment Method (CRM) is not widely used in early phase dose finding trials partly because the logistics of development and implementation are perceived as complex and time consuming. Details are presented of the steps involved when designing such a trial using an adaptation of a Bayesian CRM calibration algorithm proposed by Cheung .In addition to clinician centred parameters including target toxicity probability and number of test doses, the Bayesian CRM requires specification of the prior probability of toxicity associated with each of the test doses and the prior SD of the single model parameter. Cheung\u2019s simple pragmatic approach is used to aid selection of these parameters.Competing designs are assessed in terms of risk-adjusted accuracy and trial specific requirements including the mean number of patients treated above the maximum tolerated dose. Performance measures are estimated by Monte Carlo simulation across a range of scenarios chosen solely upon the target toxicity level and the number of test doses.We demonstrate that following this pragmatic approach to CRM design calibration, design of CRM trials need not be overly complex or time-consuming."}
+{"text": "The external validity of RCTs, which provides evidence for major clinical guidelines, may be questioned if they are not representative of real-life populations in primary care.11\u201315 In the 2007 study by Travers et al, only 4% (range 0\u201336%) of participants with asthma in a population-based survey met the eligibility criteria to be included in 17 major RCTs cited in the GINA guidelines.14 The same study found that only 6% (range 0\u201343%) of participants receiving asthma treatment also met the eligibility criteria. The proportion of patients with asthma from primary care settings that would be eligible for the major RCTs is unknown. If the proportion is similar to that found in the study by Travis et al., then the generalisability of the conclusions and the clinical relevance of major RCTs may be questionable, and they have not been improved in the past decade. There is a need to explore the external validity of pharmacological RCTs in primary care populations. The UNLOCK (Uncovering and Noting Long-Term Outcomes in COPD and asthma to enhance knowledge) project15 of the International Primary Care Respiratory Group (IPCRG) covers a broad primary care population that may help clarify the external validity of these RCTs.There are concerns that current asthma treatment is based on research with subjects who are not representative of the patients seen in clinical practice.The aim of this study is to determine whether the inclusion criteria for patients with asthma in the major RTCs supporting GINA guidelines are representative of real-life primary care populations with asthma. The study will address the following research questions:What proportion of patients in primary care would be eligible for the major RCTs assessing patients at treatment step two heading for step three?What are the clinical characteristics of these patients when compared with participants in major RCT studies?1\u20138 The management and treatment of patients with asthma in primary care is a challenge, and many patients still suffer from poor asthma control.2 The major international clinical guidelines for the prevention and management of asthma are influenced by the empirical evidence and conclusions of RCTs.9\u201314 However, RCTs tend to be highly selective in terms of inclusion and exclusion criteria for people with asthma and may under-represent primary care populations with asthma. Smokers, for example, are usually excluded from registration RCTs assessing inhaled corticosteroids (ICS), as smoking is known to reduce the efficacy of ICS.16 Other common exclusion criteria are pregnancy, lactation, elderly patients and other chronic diseases such as ischaemic heart disease. A common inclusion criterion is a bronchodilator FEV1 reversibility of 12 or 15%, which is not a frequent clinical sign in real-life asthma patients, and in the Travers study, 71 (or 76%) of participants with asthma were excluded.14Asthma is a highly prevalent disease worldwide with variability and a large range of phenotypes.17 The assessment of the external validity of asthma RCTs is therefore needed to better understand the clinical relevance of their conclusions. There should be discussion on the need for effective studies, pragmatic trials and observational studies, as a complement to RCTs, to evaluate treatment outcomes in real-life clinical settings including the whole asthma population. The main weakness of these studies might be a lower internal validity, which needs to be addressed in the design of the studies. When developing guideline recommendations in the future, data from both efficacy and effectiveness studies should be evaluated with the strengths and weaknesses given.18RCTs are important in establishing the efficacy and short-term safety of new therapies, but there are limitations in evaluation of effectiveness of the therapies in the real world.16\u201320 Previous findings suggest that the level of representation of the population with asthma14 and chronic obstructive pulmonary disease (COPD)13 in RCTs may be lower than desirable. This study can inform not only the development of future clinical practice guidelines17\u201320 but also the way asthma clinical trials are being designed and implemented.10 The study will tell us more about the patients who are not eligible for these major RCTs, and it may also provide new insights into why the control of asthma in many patients does not appear to improve in spite of the implementation of the treatment strategies that are recommended in guidelines.This study will provide estimates of the proportion of real-life primary care populations that are eligible for RCTs. It will also present descriptive characteristics of primary care patients compared with patients included in RCTs. This will present relevant information for the adequacy and use of GINA and other major guidelines in primary health-care settings.The study will use an observational design for comparing baseline characteristics of asthma patients in primary care databases with the inclusion criteria in the pharmacological RCTs that support major international guidelines .Data collection will involve two steps:Step one will identify the major relevant RCTs used in GINA guidelines.Step two will identify the primary care data sets that contain the required variables to assess eligibility for participation in the major RCTs.In step one, a Systematic Review focusing the search on selected asthma international guidelines will be conducted in order to identify all studies that fit the following criteria:Randomised controlled clinical trialPharmacological treatment at GINA management step 2 heading for step 3n>400RCT sample size Other criteria 21 statement guidelines and follow the steps identified in The systematic review will follow the PRISMAIn step two, members of the IPCRG UNLOCK group will be invited to participate in the study with primary care data sets that include the variables listed in Participants identified in the data sets will remain anonymous. Patient confidentiality will be assured in the collection and merging of the data sets.Data will be analysed according the defined criteria for the identification of RCTs. Statistical analysis of the data sets will provide summary descriptive statistics, means, measures of dispersion and proportions. The statistical analysis will focus on group classification values, and no individual statistical values will be computed or revealed.All included data sets will require approval by local primary care research ethics committees."}
+{"text": "The lack of clinical data for orphan drugs and the development of \u201cprecision medicines\u201d or advanced therapies have required a new regulatory approach to guarantee a marketing authorization for new and innovative medicines.What is actually changing in the scenario is the way Agencies are managing the regulatory procedures to ensure a rapid access to treatment for patients with unmet medical needs.In the last few years EMA and National Agencies have provided a lot of scientific advices (SA) to companies and applicants about orphan designation, CTs design, marketing authorisation procedures and HTA evaluations.Currently the global scenario is already changing as we are issuing licenses for marketing authorization under exceptional circumstances and conditional marketing authorizations. The legislative framework is also changing with the new Pharmacovigilance Directive and the new Regulation on Clinical Trials entering into force progressively by 2015.The new Pharmacovigilance Legislation supports a Progressive Patient Access Scheme approach by expanding EMA authority to request mandatorily to Applicants a post-marketing evaluation of effectiveness in addition to safety.The basic principles of PPAS approaches are facilitating early access to an early medicine approval, by acknowledging and managing uncertainty about favourable and unfavourable effects. The result will be achieved through the conduction of optimised RCTs, the monitoring of risk-based SA and the harmonisation of RCTs platforms.Lots of effort is needed by everyone through a new level of cooperation, in particular regulators, companies and the CROs need to go down to patient level in order to evaluate how the trial is proceeding and by avoiding complex policies.Moreover, patients have to accept a certain level of uncertainty as the clinical studies are not completed and Clinical Trials investigators need a continuous talking to patients during the drug development to ensure the higher level of achievable safety.A successful PPAS pathway depends on the willingness of patients, regulators, health-care providers and payers to accept a greater level of uncertainty using the new medicine in the expectation of an improved benefit risk profile.Furthermore, PPAS approach could facilitate a more open and timely strong scientific dialogue and significant cooperation among stakeholders and a time reduction to full market approval resulting into a possible impact reduction on the overall cost of development."}
+{"text": "Health systems around the world are grappling with the difficult issue of how to allocate scare healthcare resources. Within Europe many different approaches to healthcare resource allocation exist, but it is clear that the formal techniques of cost-effectiveness analysis are becoming increasingly important. This presentation will first address the fundamental economic principles of scarcity and opportunity cost, before looking at how different European systems are attempting to address the economic challenge of providing healthcare for their population from a limited budget. The presentation will go on to consider general issues in health economic evaluation that are likely important for clinical community focused on HIV treatment: appropriate comparator treatments for defining opportunity cost, patient heterogeneity and the potential for personalized/stratified medicine to control costs and target treatment appropriately."}
+{"text": "The devastating toll of the Ebola epidemic in West Africa necessitates considerations of new approaches to research into new prevention technologies and treatments for Ebola Virus Disease (EVD). Research must be planned and delivered in consultation with civil society from the epicentre to prevent mistrust and misunderstanding. Ethical considerations include development of local research and regulatory capacity; negotiating the standard of prevention packages for research participants, including healthcare workers; and strengthening health systems in developing countries to ensure effective response to future EVD outbreaks in the region. Also, strategic consultation with local communities is an ethical imperative for EVD research, particularly where there is potential for differential access to prevention and care packages between trial staff and local hospital staff. The increasing incidence of cross-border infection exemplified by case detection in Nigeria, Mali, Senegal, England, United States and Spain, further necessitates consideration of new approaches to the evaluation and distribution of new treatment and prevention technologies. Despite possible remission of EVD symptoms following early detection and aggressive supportive care, mortality reported in the current epidemic has been estimated to be 73% with morThe high case fatality may be connected to poor medical management of patients with EVD . ProvisiDevelopment of EVD treatment drugs and vaccines is very important, but glaringly, development of local capacity to provide care and support for patients with EVD is equally essential. Accordingly we will also address issues of local capacity in this paper, which will discuss and identify significant ethical considerations when planning the design and implementation of clinical trials for EVD treatment drugs and vaccines.Phase I trials for anti-EVD vaccines and therapeutics should happen in developed countries as is the norm with other drug and vaccine development process. This is because of the need to ensure optimum standards of clinical care and patients\u2019 monitoring during phase I trials while establishing baseline safety data. Phase II trials however may be conducted in developing countries with EVD outbreaks. This should not preclude efforts to build local capacity in Africa to conduct phase I clinical trials. Kanapathipilla et al proposedFor EVD vaccine research, Kanapathipilla et al proposedUnfortunately, countries affected by EVD in West, East and Central Africa have grossly inadequate health infrastructure and do not have a large pool of personnel with competency to conduct clinical trials . In addiWhile most if not all of the EVD clinical trials protocols for treatment therapies and vaccine are developed primarily by researchers in the developed countries, this research will be conducted in collaboration with partners in the local settings. For EVD treatment research, health care workers will be actively engaged with drug administration and data collection. Also, healthcare workers are to be targeted as study participants for EVD vaccine research due to their heightened risk for contracting EVD . It is tFor healthcare workers as care providers, the standard of prevention package should include providing effective personal protective equipment (PPE) and implementing evidence-based standardised protocols regarding working conditions . There is evidence that suggests a need to improve the quality of PPE as the cIn addition, due consideration should be given to the PPE requirements of those who wear prescription glasses and the use of fluid resistant particulate respirators when carrying out procedures that could cause aerolisation of infectious particles . While EFurthermore, participants and researchers will need to be carefully prepared to deal with fever that could arise as a complication of EVD vaccine research. Fever is a common vaccination side effect and, not unexpectedly, has been seen in a small number of participants in the human safety trials of one of the candidate Ebola vaccines . Fever iAs healthcare workers face increased risk of Ebola exposure and infection in their daily lives, it is also likely that some healthcare workers who volunteer for the EVD vaccine trials will acquire EVD. This raises the issues of the standard of care for EVD trial participants who become infected. The long-standing debate on what constitutes appropriate standard of care in resource constrained settings has onceThe standard of care package for trial participants will need to be carefully negotiated to optimise care not just for participants but also for their local communities. In the context of HIV prevention trials, negotiation of standard of care packages has also been proposed, especially in situations where the standard of care between developing and developed countries differ significantly, and where the institution of international gold standard of practice may involve differing standard of care between research participants and other community members . DiscussA further ethical imperative for trial conduct in countries with EVD epidemics hosting EVD research is the need to ensure technology transfers. It is very clear that the development of EVD therapeutics and vaccines can no longer be delayed. The corollary of this is that research teams need to think about how to develop not only the infrastructure but also the human and administrative capacities in proposed research sites to facilitate the conduct of the required phase II and III trials. There is a need for structured supportive systems that promote local capacity building for research staff in Ebola-affected countries in ways that enable them to design and implement future research studies that can address local EVD containment. Unfortunately, the lion's share of the funding for research on Ebola is currently spent in developed countries outside Africa, with very little focus on building the capacity of researchers in affected region been able to lead Ebola research initiatives . This paThe ethical complexities of conducting clinical trials during epidemics of such magnitude as the current West Africa outbreak make it imperative that decisions about compassionate access for therapy and clinical trial design for EVD therapeutics and vaccines are made in consultation with affected communities, including non-medical members of civil society. Building shared understandings of the epidemic and research strategies to help affected people and communities are critical to the success of research and access programs, making the involvement of civil society in EVD research planning and implementation crucial.In an epidemic setting where the prospect for compassionate access to new interventions is possible, decisions about the conduct of clinical trials of such interventions has to be weighed against compassionate access for those infected or at high risk of infection. Compassionate access is important for humanitarian reasons, and it may also assist with gaining compliance with public health measures. Access to an experimental vaccine should however be based on defined clinical criteria that allow for systematic data collection, without preferential treatment for people with particular roles in society, in order to avoid entrenching social inequalities .Compassionate access to experimental therapeutics and vaccines may however deplete the supply of experimental interventions and complicate evaluative processes, as patient deaths or recoveries may be wrongly attributed to the experimental substances. This and other possible challenges with evaluation of the efficacy of potential EVD therapeutics and vaccines should not preclude access of citizens in a country where EVD therapeutics and vaccines clinical trials are been conducted to compassionate therapy.In a health crisis like that been currently experienced with EVD in West Africa, civil society consultation may sound like an unaffordable luxury. The decisions that need to be made over the following months about how to distribute and test experimental therapeutics and vaccines in West Africa will necessarily involve complex choices based on values, however.Without meaningful input from civil society, and strong support from the media for disseminating accurate and unbiased information, there is the risk that EVD therapeutics and vaccine research and development could exacerbate social inequalities and breed social unrest. Perceptions about social injustice could arise from differential access of trial participants and trial support staff to prevention and care packages that dichotomise the populace.Decisions therefore need to be made with communities on research design and implementation plans including participant recruitment process, whether or not some communities are too vulnerable to participate, and how to ensure communication of key concepts to community members who participate in clinical research. The decision-making process should promote collaboration between researchers and community members as invested stakeholders in the management and control of the EVD epidemic. Dialogue between researchers and communities should therefore be bidirectional and continuous up till the point of research result dissemination. Community-research partnerships should be the ultimate goal of the community engagement process for EVD therapeutics and vaccine clinical research programmes. The Good Participatory Practice Guidelines developeDevelopment of effective EVD treatment drugs and vaccines must be a global priority. Prevention however cannot be the only strategy for combatting this disease. Pictures and reports from countries affected by the EVD have shocked the world, with men, women and children suffering and dying in unspeakable conditions that attest to the parlous state of health infrastructure in areas stricken by the disease. The social and economic effects of the epidemic will further delay the development of infrastructure that is urgently needed to provide decent care to people in these countries. Strengthening the health systems of countries with low GDP needs to be given global priority while effective EVD therapies are been researched and developed. The next epidemic may hit another region in Africa outside the current know zones of the epidemic. The world cannot afford a repeat of the current EVD epidemic we are witnessing."}
+{"text": "Research into correlates and determinants of fatigue has burgeoned in the past two decades. However the link between cortical activity and muscle force generation on fatigue that develops during exercise is not very well understood. While there is extensive evidence suggesting that the central nervous system can contribute to the inability of a human being to sustain a motor task, some questions are unsolved. Is fatigue a sensed variable? Could substantial progress in neurophysiological techniques have additional benefits in the understanding of fatigue? What have we learned and what happens next? Answers require likely the combined insights not only from physiologists, but of neuroscientists and psychologists. Recent research in this area presents three trends providing current interests and opinions in the field.The first issue concerns the fatigue state with respect to changes in motor performance. The picture of fatigue that emerges is the conscious perception of a sensation of fatigue according to the phenotypic traits of the individuals mediated by environment and culture with sufficient ecological validity Mauger, is a rapAdvances in functional neuroimaging techniques of the human brain with behavioral outcomes, such as electroencephalography (EEG) and near-infrared spectroscopy (NIRS), helped to generate first valuable data in human exercise research. Increased muscle recruitment as revealed by electromyographic activity was accompanied by a higher brain cortical activity (measured by EEG) localized mainly in the primary motor cortices during unilateral isometric knee extensions . The PFC involved in motivational and decision-making processes is an important candidate for acting as relay station in the central fatigue related network regulating central command. Development of fatigue at the highest force output during intermittent isometric upper limb contractions was attributed to reduced muscle oxygen availability rather than impaired prefrontal oxygenation have also gained popularity owing to its potential to explore the neural processes underlying motor functions Mauger, . Recent Investigating the post-exercise recovery strategies could shed light on the contributions of the brain into the control of muscle force with fatigue development. Regarding the post-exercise recovery period, little or no data are available concerning central processes of performance to understand cortical brain function during and after exercise in healthy humans should guide our future works.The author declares that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Sibling recurrence data from the Baby Siblings Research Consortium (BSRC) recapitulate results from very large clinical family studies that demonstrate the absence of the Carter effect and provide clarification of the nature of the female protective effect in ASD. This legacy prospective data collection confirmed marked differences in the proportions of males versus females who lie along deviant trajectories of social development in the setting of inherited liability to autism\u2014a phenomenon which defines the female protective effect\u2014and demonstrate that among affected children, sex differences are modest and homologous to those observed among non-ASD children. I read with great interest the report and analysis of the extensive collection of data by the Baby Siblings Research Consortium regarding early sex differences . Given tnot observed for ASD in the Baby Siblings Research Consortium (BSRC) sample. But the absence of the Carter effect is not the same as the absence of a female protective effect.What the data suggested, replicating what has actually been previously reported by numerous prior studies , 3, is tThe manuscript describes the BSRC observation that across a number of developmental competencies, modest sex differences were observed, and the discrepancy between boys and girls with ASD was not different in magnitude from that between typically developing boys and girls. The authors conclude that therefore sex differences were \u201cnot autism-specific.\u201d Examining males and females within the category of the disease-of-interest is an important exercise in understanding sex differences, but there can be profound ASD-specific sex effects on a disease that render sex differences among affected subjects relatively minor and indistinguishable from those differentiating typical boys and girls. Conduct disorder provides an excellent example\u2014the differences between males and females who meet diagnostic criteria are minimal (by definition) and yet males are six times more likely to be affected than females. within any subject group was dwarfed by the magnitude of difference across groups (ASD versus non-ASD). Since the \u201cquantum leap\u201d from typicality to clinical abnormality occurred over three times more commonly for male siblings than for female siblings (this was the second major clue generated by the study data), the data actually represent a remarkable manifestation of sex-specific modulation of inherited liability, which is the fundamental nature of the so-called female protective effect. The refocusing of the problem on contrasts across groups rather than within groups is represented by comparing the arrows and relative sample sizes in\u00a0Fig. In the case of ASD, the first major clue generated by these data was that the magnitude of sex difference for any given trait In prior published work, we have presented evidence for the manner in which a female protective effect might operate in the absence of the Carter effect, essentially via a categorical mechanism of protection by which most females are protected from most forms of ASD , 7\u20139. Thdefines the female protective effect\u2014and demonstrate that among affected children, sex differences are modest and homologous to those observed among non-ASD children.The BSRC data recapitulate results from very large clinical family studies that demonstrate the absence of the Carter effect and provide clarification of the nature of the female protective effect in ASD. The prospective data collection confirmed marked differences in the proportions of males versus females who lie along deviant trajectories of social development in the setting of inherited liability to autism\u2014a phenomenon which"}
+{"text": "The evolution of intrauterine development, vivipary, and placentation in eutherian mammals has introduced new possibilities and constraints in the regulation of neural plasticity and development which promote neural function that is adaptive to the environment that a developing brain is likely to encounter in the future. A range of evolutionary adaptations associated with placentation transfers disproportionate control of this process to the matriline, a period unique in mammalian development in that there are three matrilineal genomes interacting in the same organism at the same time . The interactions between the maternal and developing foetal hypothalamus and placenta can provide a template by which a mother can transmit potentially adaptive information concerning potential future environmental conditions to the developing brain. In conjunction with genomic imprinting, it also provides a template to integrate epigenetic information from both maternal and paternal lineages. Placentation also hands ultimate control of genomic imprinting and intergenerational epigenetic information transfer to the matriline as epigenetic markers undergo erasure and reprogramming in the developing oocyte. These developments, in conjunction with an expanded neocortex, provide a unique evolutionary template by which matrilineal transfer of maternal care, resources, and culture can be used to promote brain development and infant survival. Two major innovations have contributed to the evolutionary success of mammals. The first is the evolution of a foetally derived placenta which enables the foetus to influence its own destiny, whilst placing a considerable burden in terms of time and energy investment on an expectant mother. Hormonal cues provided by the developing foetus influence maternal neural function, increase maternal food consumption to compensate for increased energetic costs , suppresThe mammalian brain has undergone profound changes during its evolution. The huge expansion of the neocortex especially in primates has facilitated a shift in the complexity of social interactions and in primates complex social cues replace changes in hormonal states to promote maternal and sexual responses. Parturition is not required to initiate maternal behaviour which is therefore displayed towards a range of offspring in a social group and sexual interactions may occur out of oestrus and are used to reinforce social attachment. The most important phases of neocortical development and socialisation occur during periods of maternal attachment, among stable groups of females that extend over more than one generation. There are often complex social hierarchies within these groups and social rank is often inherited matrilineally from the mother .The developing mammalian brain can demonstrate remarkable plastic and adaptive responses many of which serve to adapt the brain to an environment that it will encounter when mature. This may account for the ease in which mammals have undergone adaptive radiation into a wide range of environmental niches, where evolution of the brain and neuronal phenotype has paralleled adaptations in physical structure. In this review we focus on the importance of a number of mechanisms that contribute to this and emphasise the importance of the matriline in these mechanistic processes. We also suggest that failure in these processes can result in the induction of deleterious neural and peripheral phenotypes that cannot be viewed as traditionally pathological but are phenotypes which are adaptive to the environmental conditions with which an individual or its mother interacted during early development. Subsequent shifts in environmental conditions during an organism's later development may leave it with a poorly environmentally adaptive phenotype and a propensity for health problems.The hypothesis of predictive adaptive responses or plasticity (PAR) was originally developed at a whole organism level to provide a mechanistic framework by which a developing organism can attempt to predict and modify its developmental phenotype to accurately match the environment that it will encounter when mature. It also incorporated a range of ideas that attempted to explain why early life experiences are associated with an increased risk of disease in later life, especially in contemporary human societies \u201323. TherMicrotus pennsylvanicus) born in late summer and early autumn have much thicker coats than those born in the spring. The proximal cue for this is a reduction in day length, which is transmitted to the developing vole in utero via melatonin signalling originating in the mother [A range of predictive adaptive responses involving the brain have been described in a number of mammalian species. One of the simplest and earliest related to the observation that vole pups which provides a unique template by which a mother can transmit environmental information to her developing foetus and her potential grandchildren. The placenta is produced by the developing foetus and provides a mechanism by which it can attempt to control the physiology and neural function of its mother to its own advantage. Progesterone secreted by the placenta suppresses sexual activity , 3; its Placental hormones also prime the oxytocin system in anticipation of parturition where oxytocin release is required to support uterine contractions, milk ejection, and maternal behaviour in the mother , 6 and t in utero via placentation or postnatally via lactation and efficient maternal care [The developing foetus begins to exert considerable leverage on the neural function of its maternal hypothalamus during early placental development at the same time as it develops a hypothalamus of its own , 47, 48.nal care , 47, 48.Genomic imprinting refers to a form of monoallelic gene expression whereby the expression of an allele depends on its parental origin. The fact that genomic imprinting is absent in egg laying mammals and the fact that there are only 6 or so recorded imprinted genes in marsupials but around 150 imprinted genes in eutherian mammals have driven the development of over 14 interesting theories that explain their existence . Most ofPeg3) has provided a range of evidence that supports the role of imprinted genes in the development of coadapted responses between the hypothalamus and placenta. The Peg3 gene can be inactivated in the maternal hypothalamus but not the placenta or hypothalamus of offspring or be functional in the maternal hypothalamus but inactivated in the hypothalamus or placenta of offspring. Both of these paradigms produce remarkably similar deficits in hypothalamic cell number, maternal behaviour, and impaired suckling, which leads to impaired growth, onset of puberty, and reproduction [Many imprinted genes are coexpressed in the developing hypothalamus and placenta, and a range of studies using mice with an inactivated paternally expressed gene 3 , which are thought to be important for the regulation of monoallelic gene expression and disruption to these can be associated with Prader-Willi and Angelman's syndrome . ImprintThe development of the brain is by definition a complex epigenetic process; neural systems are designed to respond to environmental changes as the interactions of over a trillion synaptic connections both are activity dependent and can be subjected to epigenetic modification. This occurs throughout the life of an individual but at key stages of development, epigenetic modification of neural function is under disproportionate control of the matriline. The erasure and reprogramming of the epigenetic landscape in the developing oocyte, interaction of the developing brain and placenta with environmental cues, the ability of a developing brain to accurately assess present conditions and accurately anticipate the future, and programming of the postpartum brain via efficient maternal care and lactation are all disproportionately matrilineal processes. No two brains are ever alike and even monozygotic twins exhibit increasing differences in behaviour and predisposition to psychiatric disorders as they age , 55 whicThe evolution of paternally derived intergenerational effects on offspring fitness and phenotype may suggest one further mechanism by which adaptive traits can be passed rapidly through an expanding population. Beneficial genetic variations and epigenetic modifications of monoallelically paternally expressed genes will spread far more rapidly through a population than those of monoallelically expressed maternally expressed genes. This is because mammals typically have fewer ancestral fathers than mothers as in males freed from the energetic burden of placentation reproductive success is based on competing to impregnate as many females as possible. This means that many low status males fail to breed and yet high status males often have large numbers of offspring. In populations that are moving into novel environments, who then subsequently undergo a rapid expansion this reproductive asymmetry coupled with the evolution of paternally expressed gene expression provides an elegant mechanism to rapidly distribute traits that are adaptive to neural function. Adaptive gene variants and epigenetic modifications of paternally expressed genes will spread extremely rapidly in such rapidly expanding population, especially in circumstances where there are few ancestral or founding fathers. This is an important adaptive trait when populations are moving into new environmental niches. There are animal examples of this gender asymmetry of ancestral influences but one rare but illustrative human example of this process relates to the amazing fecundity of Genghis Khan who was thought to have sired over 1,500 children. This productivity was also replicated by his sons and grandsons. As a consequence there are now over 16 million men in Asia who can trace their Y chromosome lineage to an extremely small number of reproductively successful men living in the 12 and 13th centuries .In circumstances where an organism's early life environment provides accurate predictive cues to the environmental conditions prevailing when adult, the ability of the developing foetal and neonatal mammalian brain to adjust its development to optimally match its function to the requirements of its adult environment confers profound advantages in terms of survival and reproductive fitness. One evolutionary development that elegantly facilitates this process in eutherian mammals is the development of a foetally derived placenta, by which the foetus can attempt to control its own destiny and hormonally regulate the maternal hypothalamus to leverage maternal resources for its own benefit. This is a unique situation that requires the interaction and coadaptation of three matrilineal generations and hence genomes interacting in one organism at the same time . This provides a template by which a mother can transmit adaptive information concerning present and potential future environmental conditions to the developing foetal brain over an extended period. When combined with the evolution of imprinted genes and disproportionate maternal control over the mechanisms of epigenetic inheritance, this provides a mechanism to ensure intergenerational coadaptation of the maternal hypothalamus, developing brain, and placenta, integrate potential maternal and paternal interests, and promote the optimal allocation of maternal resources and transfer of matrilineal cultural influences. In circumstances either where the early environment provides inaccurate cues to the environmental conditions prevailing when adult due to rapid environmental change or when disruptions to normal neural development occur, the mismatch between the environmental predictions made during early development and subsequent reality may mean that an organism may have a poorly adapted phenotype to its adult environment which may predispose it to health problems. An appreciation of these underlying evolutionary salient processes may provide a novel perspective on the casual mechanisms of a range of health problems. The concept of a brain that is not pathological in the classical sense but it is simply mismatched to its environment has been most extensively studied in the context of ancestral and early developmental nutrition , 40, 41."}
+{"text": "Finding the right dose of a novel treatment is one of the most important tasks in early drug development. However, there is often uncertainty about the form of the relationship between dose and patient response at the time that the dose-finding trials are designed. In this presentation we develop Bayesian adaptive designs for Phase II cross-over trials conducted to estimate the minimum effective dose (MED), that is, the dose corresponding to the minimum clinically relevant effect over placebo.We propose designs which stipulate that patients enter the trial in cohorts, and each cohort receives placebo and three active doses from a total of K active doses available for use. After each cohort of patients has been treated using a Williams square design an interim analysis is performed to identify which doses the next cohort of patients should receive. Bayesian model averaging is used to account for model uncertainty. Prior distributions will be based on pseudo data collected from experts by eliciting quantiles of the response distribution on placebo and a number of active doses to be used in the trial. A number of plausible models for the dose-response relationship are identified before the trial begins and accumulating evidence on the shape of this relationship is summarised by posterior model probabilities. Doses for the next cohort of patients are chosen adaptively to minimise the weighted average variance of the log(MED), averaging across all candidate models and weighting according to posterior model probabilities."}
+{"text": "ObjectiveHypotonia is a common clinical entity well recognized in pediatric age group, which demands experienced clinical assessment and an extensive array of investigations to establish the underlying disease process. Neuroimaging comes as great help in diagnosing the disease process in rare cases of central hypotonia due to structural malformations of brain and metabolic disorders and should always be included as an important investigation in the assessment of a floppy child. In this article, we discuss the MRI features of eight cases of central and two cases of combined hypotonia and the importance of neuroimaging in understanding the underlying disease in a hypotonic child. Hypotonia is a constant clinical sign associated with a wide variety of cerebral as well as systemic diseases in newborns and older infants. Causes can be common such as hypoglycemia and hypoxic ischemic injuries that do not pose many difficulties in diagnosis and could be rare Inborn Errors of Metabolism; which are difficult to diagnose especially in resource limited Nations. A thorough clinical examination by an experienced pediatrician is usually the first step necessary to determine the anatomical origin of hypotonia i.e., whether in the central or peripheral nervous system . CarefulIn this article, MRI brain imaging details have been discussed retrospectively in eight patients of central and two cases of combined hypotonia referred to the Department of Radiology of Dr. Rml Hospital, a Tertiary Care Institute for neuroimaging in northern India. We have excluded the more common systemic or acquired causes like sepsis or hypoxic ischemic encephalopathy and those cases where MRI was essentially normal. MRI was performed on a 1.5 Tesla Siemens Magnetom Symphony scanner with 4 mm thick slices and 2 mm interslice gap. All standard sequences were included including post contrast sequences and MR Spectroscopy in special situations as and when required.MRI findings in structural anomaliesVariable degree of posterior fossa abnormalities were observed in the present cases: Jouberts Syndrome, Chiari I, WalkerWarbug Syndrome (WWS) and Fukuyama. Small posterior fossa and tonsillar herniation was seen in Chiari I malformation , VermianMRI findings in metabolic disordersWhite matter signal abnormalities were observed in most of the cases with metabolic disorders with symmetrical involvement being the most common type. While the white matter signal changes were confined to the white matter of cerebral hemispheres, corona radiata in adrenoleukodystrohy and metachromatic leukodystrohy diffuse signal changes with involvement of posterior fossa was seen in Canavan\u2019s disease and in Maple syrup urine disease , 9. AmonMRI findings in combined hypotoniaIn Fukuyama disease, MRI revealed multiple subcortical small cysts in bilateral cerebellar hemisphere and polymicrogyric cortex with diffuse signal changes in white matter of brain . In WalkAdvances in neuroimaging have led to early recognition and diagnosis of rare congenital anomalies of brain and inborn metabolic disorders in floppy infants even before the full clinical manifestations of the disease sets in the later childhood. Present series was aimed at describing MRI features and its importance in the work up of floppy infants with congenital structural and metabolic basis of neurological disorders. Structural malformations and metabolic encepahalopathies produce profound hypotonia in infants and often in early months of life, this may be the sole manifestation of these rare diseases .These inIn Conclusion, Neurological evaluation of a floppy child is an extremely difficult and demanding task and the clinician may be clueless about the next correct investigation to choose among the wide array of highly specialized tests for the diagnosis of central hypotonia. Hence, neuroimaging should be considered for quick diagnosis and identification of potentially treatable cases."}
+{"text": "The brain-machine interface (BMI) used in neural prosthetics involves recording signals from neuron populations, decoding those signals using mathematical modeling algorithms, and translating the intended action into physical limb movement. Recently, somatosensory feedback has become the focus of many research groups given its ability in increased neural control by the patient and to provide a more natural sensation for the prosthetics. This process involves recording data from force sensitive locations on the prosthetics and encoding these signals to be sent to the brain in the form of electrical stimulation. Tactile sensation has been achieved through peripheral nerve stimulation and direct stimulation of the somatosensory cortex using intracortical microstimulation (ICMS). The initial focus of this paper is to review these principles and link them to modern day applications such as restoring limb use to those who lack such control. With regard to how far the research has come, a new perspective for the signal breakdown concludes the paper, offering ideas for more real somatosensory feedback using ICMS to stimulate particular sensations by differentiating touch sensors and filtering data based on unique frequencies. Limb loss and paralysis can have crippling consequences for those affected, severely hindering the ability of individuals to live normal lives. Work being done with prosthetics utilizing neural interfacing techniques for neural control may hold the answers to potentially restoring some of what these people have lost and significantly improving their overall quality of life , 2. WithRecently the importance of somatosensory feedback as a method for providing higher level cognitive control has become apparent \u20137. Ever This paper will review what is currently being done with prosthetics implementing BMI technology, focusing on the integration of proprioceptive and somatosensory feedback as a method to improve control. After delving into some of the basics behind BMI, the importance of sensory feedback and commencing with the review, a new perspective on methods for signal breakdown will be explored for the purpose of offering possible new insights and a unique perspective on what can be done moving forward in the field. Finally, the applications of neural prosthetics will be discussed.A brain-machine interface is a link between the mind and the physical world in which information can flow and allow the two to interact through an external device. The principals behind modern day prosthetic BMIs involve extracting motor control signals from pools of neurons and translating those signals into motor control of a device that control being fine-tuned through different feedback sources and assistance from computer algorithms . InformaDecoding is a huge component of being able to understand brain signals and translating them to the prosthetic device. Decoders use multiple mathematical functions to process a variety of neural signals recorded by electrodes into signal patterns that can be recognized and interpreted as relating to specific neural activity . The rigAlong with decoding, one of the most crucial challenges facing brain-machine interfacing is electrode design and lifespan. The electrode/electrolyte interface can cause unfavorable reactions, such as irreversible faradaic reactions, and chronic implantation in the central nervous system has been shown to elicit a typical response of electrode encapsulation by macrophages, microglia, and astrocytes, even in materials considered to be biocompatible . Less inDecoding signals from neural activity collected from these electrodes give rise to cognitive control. BMIs used in research involving monkeys have developed from giving them cognitive control of a cursor on a computer screen, in which they would perform tasks for a juice reward , to beinPatients suffering from paralysis and limb loss can theoretically benefit from two different types of prosthetics: motor-based prosthetics that read out information from motor cortical areas of the brain concerned with arm and movement and cognitive prosthetics that translate activity from various cortices related to sensory-motor integration involving higher level of cognitive processes that organize behavior , 20. EffThe idea of sending the information about the touch from the artificial hand to the brain is a new concept. It works by adding additional somatosensory feedback channel that can create tactile signals generated by real sensors placed in the robotic hand, directly to the somatosensory cortex. The goal of adding sensory signal makes the system closer to the real side and can also add a whole new experience of being able to feel the touch surface. BMI without somatosensory feedback only relies on visual feedback and thus could result in reduced quality of BMI-controlled movements , 5.Research has shown that integration of multiple sources of feedback significantly improves control when using BMIs, research that will be explored in the following animal study. Work done in 2010 by Suminski et al. using BMIs that incorporated feedback from multiple sensory modalities in monkeys found early on that using proprioception as a feedback mechanism aided in neural control [Two adult male rhesus macaques were trained to control a two-dimensional cursor using a robotic exoskeleton, moving the cursor to a series of random targets to receive a juice reward. The monkeys were then implanted with a 100-electrode microelectrode array in the primary motor cortex (MI) contralateral to the arm used for the task of controlling the cursor see , and mulThese results are the first to demonstrate the important implications of feedback modalities other than that provided by one's vision in cortically controlled brain-machine interface. The performance with proprioception also surpassed that reported in a clinical experiment involving two human patients with tetraplegia and compSomatosensation, including proprioception, is an integral component of natural motor abilities. Losing proprioception will have significant detriments on the capacity to plan dynamic limb movements , and in Conveying somatosensory information via ICMS has also been shown to be viable in animal studies. Researchers at the University of California Berkeley tested whether rats could use artificial tactile percepts generated from ICMS to the barrel cortex to navigate around a virtual target . Rats weResearchers at the University of Chicago sought to convey information about sensory contact location on the hand and digits of a Macaque monkey by delivering ICMS to regions of S1 with particular receptive fields in the hand . Tabot aEarly experiments exploring sensory mapping along S1 via electrical stimulation by Penfield and Boldrey showed that S1 neurons organized into distinct columns, which represent regions of the body , and thaOne option being explored utilizes the brains ability to adapt, relying on its plasticity, instead of meeting the demands of complete biomimicry. By associating different stimulation patterns with various kinds of sensory information, it is hoped that patients will be able to learn the meaning behind each and use that information to operate better prosthetics. This method might also be warranted in the presence of cortical plasticity, or when the brain adapts unused areas to help control the functions used to compensate for that loss. Given time, areas not in use may have become completely devout to this other function, making new adoption out to be a more reliable option. The synergy between these adaptive methods and biomimicry may hold answers to improving patient control of cognitive neural prosthetics and BMIs that can integrate both afferent and efferent signals .BMI technology can aid tremendously in restoring function and patient rehabilitation in a clinical setting. Traditionally, the main forms of treatment for sensorimotor disorders involve pharmaceutical intervention for pain and clonus, and classic physiotherapy techniques focused on avoiding muscular hypotrophy by administration of passive movement sessions through manual interventions . HoweverThe idea of neural prosthetic control through functional electrical stimulation spans back from when one of the first FES systems employing implantable electrodes is inserted into muscular fibers to allow a hemiplegic patient to move a completely paralyzed limb again to FES-BImplanted electrode arrays can produce excellent accuracy and complex motor routines; modern BMIs can detect and encode natural hand and finger motions performed by monkeys with the use of intracortical electrodes , 36. IntRaspopovic et al. at Ecole Polytechnique Federale de Lausanne set out to restore natural sensory feedback via stimulation of peripheral sensory nerves (median and ulnar nerves) through the use of transversal intrafascicular multichannel electrodes . They thFuture perspectives include incorporating the prosthesis into the body schema . Better brain-prosthetics integration must reduce the timing between motor information and sensory information, which has been found to be crucial for patient recognition and acceptance of the prosthetics . ExistinDealing with phantom limb pain as an application of ICMS offers a good example of the mechanisms and benefits of peripheral stimulation in the context of neural prosthetic replacement. Phantom limb pain is a mild to extreme pain whose seeming origin comes from a no longer existing extremity or which is felt from where a person's limb has been amputated , 42. ThiEven when a basic prosthetic device is attached to an upper limb injury the patient can still have these types of phantom pains because there is still no sensory information being sent to the primary somatosensory area of the brain. The sensory information received at the prosthetic device has shown a resultant decrease in the phantom pain experienced by these amputee patients , 44. RedAlthough most of the current research involves the use of ICMS to stimulate the somatosensory cortex; in future, the use of optogenetics might become more prevalent. Optogenetics is based on genetically modified ion channels that respond to light, and thus it could remove all the problems associated with the use of ICMS. It would also allow for finer control of spatial pattern of activation .The focus on improving control in this paper will be via proposing a stimulation method to provide full sensory information directly to the patient. The intent on conveying comprehensive somatosensory information will focus on providing information regarding multiple features of tactile perception rather than just one . Visual feedback has been predominantly used to modulate the output of BMI limbs, but this provides limited control of force and takes time for complicated spatial tasks . As mentCurrent ICMS techniques have demonstrated the capability to deliver localized activation of neurons . They caAs elucidated earlier, there has been much progress in the development of advanced decoding algorithms and research into the function and mapping of the motor cortex that has contributed to the capability of lending CNP arms to mimic much of the natural movement capabilities of a native arm. Given these developments and the demonstrable advantage of artificial sensory feedback , using tSince ICMS has been established as the preferred method of conveying somatosensory feedback, it is necessary to have a stimulation strategy that will successfully convey comprehensive somatosensory information. To accomplish this, the signals will first have to be acquired by the device and then converted into a form that can be conveyed via ICMS. The following proposed method of signal breakdown will only require information from one or two sensors preferably from a flexible array sensor with a high spatial resolution and small size accompanied by a larger normal force sensor to contrast related receptive fields in the hand. This combination of sensors is a possibility given previous applications in robotics .Next, the method of signal breakdown will be discussed. Since most of the information within contact events is contained within the event itself, we propose selecting certain features of the information out to be conveyed via existing somatosensory information streams in native arms. In the native arm, haptic information is conveyed via canonical mechanoreceptors of the skin and their slowly adapting (SA) and rapidly adapting (RA) afferent components . These mTo accomplish this, one approach would be to mimic the somatosensory afferents of the native arm. For providing comprehensive somatosensory information, this paper will focus on SA and RA information streams and their two subtypes. SA and RA refer to the response of the mechanoreceptor to a sustained stimulus; SA mechanoreceptor afferents maintain a high response throughout the stimulus duration, where RA mechanoreceptor afferents respond to changes in stimulus intensity. Furthermore, the SA and RA mechanoreceptors can be broken down into their respective subtypes based on their intrinsic response properties. The frequency range refers to the range of frequencies, to which the mechanoreceptor can respond. Sensitivity refers to the lowest amount of change in frequency that will cause a change in the firing of the mechanoreceptor, and the receptor field size refers to the area on the surface of the skin which one mechanoreceptor occupies , 13. TaSensory information produced by the response to contact events could possibly be replicated by filtering out the appropriate information from the fewest amount of sensors needed to replicate tactile sensation in the fingers and hand. The electrical signals from these sensors could be filtered through appropriate frequency band selection via bandpass filters or low-pass filters , followed by the addition of processing to recreate the response properties of the native sensory afferent according to their native physiological properties listed in The processed signals must be used to evoke sensory percepts via ICMS to their relevant regions of S1 . FigureICMS pulse trains from the proposed method of signal processing could then be delivered to the respective areas of S1 for each receptive field of the hand and separated by their RA and/or SA stream components into the areas with these natural receptive fields. We hypothesize that using ICMS to deliver the same information processed by this method may improve the ability of a patient to interpret many details from elicited tactile percepts due to the existence of both RA and SA-like neurons in S1 .The goal of this perspective is to propose a technique that could convey multiple submodalities of somatosensory stimuli to a human patient operating a somatosensory BMI. This point of view could offer insight into the recovery of multiple submodalities of tactile information as well as a deeper insight into the relationship between natural cortical coding of somatosensory information and the somatosensory percepts that they elicit.Providing direct sensory feedback to amputees can be considered truly cutting edge research. A review of BMI and the superior control attained when incorporating somatosensory feedback into a device shows the possibility to restore natural function and the challenges that need to be addressed for this technology to reach a broad clinical setting. This paper offers a new perspective for improving tactile sensation in neural prosthetics with somatosensory feedback by separating the stimulus from the sensor into signals that resemble the sensory afferent sensation of a real hand. ICMS was discussed as a primary method for sending signals to the S1 in the postcentral gyrus of the brain. The applications of a feedback system range from reducing the cognitive burden of one sense to restoring vital sensations that are essential in allowing people the chance to interact with their surroundings and one another. The power that tactile sensation conveys is invaluable and completely necessary for restoring function. Moreover, it is certainly clear that research into creating prosthetic devices with sensory feedback will continue to evolve the scientific frontier, creating a new understanding of how the brain works and helping those suffering from the loss of limb use everywhere."}
+{"text": "Newborns from multiple pregnancies demonstrate a higher perinatal morbidity and mortality compared to singletons. Prematurity is more frequent in twins and therefore birth weight is significantly lower compared to singletons . Thus, tCareful analysis of both twins for a pathological condition is mandatory to address the most appropriate management. Twin discordance for the presence of a severe pathological condition raises serious concern in terms of bioethical and psychological impact on the parents and medical staff. DiffereThe management of multiple pregnancies is a very complex task for medical staff and requires parental support with adequate counselling and psychological help ."}
+{"text": "Virtual communities are emerging in many aspects of health activities and widespread in health management. Online health communities offer a virtual system where people with common interest, specific health needs can exchange information and experiences with other people with the same condition as well as getting support from peer and professionals. The objective of this study is to develop an ICT platform enhancing community resident participation involving in the chronic disease prevention and physical activities. The aim of this platform is to promote physical activity of community residents for health promotion and disease prevention goal attainment. Health promotion goals for enhancing physical activity were set by health care professionals based on scientific evidence. Instead of individual plan to set the goal by themselves, the platform offered them tailored goal with their conditions and then suggested them to participate in group shared their physical activity goals. The platform encouraged the active participation of community residents though adherence physical activity of health communities in which they were members.The ICT platform provides a place where community residents with chronic conditions or even healthy people who want to promote their health be able to find an appropriate group for together prevent disease and enhancing physical activity. The platform in the study allowed community residents to develop their own communities and invite other members to participate with them. This online community intended to empower community residents to increase their involvement in their self-management and pushing the active participation in phycial activities. Function such as reminder of activity participating was added. Future study will be conducted to evaluate changes in health promotion self-efficacy, health goal fulfillment, health-related quality of life, and shared decision-making after using the Health Community Platform among community residents. Extensive research initiatives are needed to determine the impact of virtual health communities on patient outcome, the overall process as well as quality and access of care."}
+{"text": "Subjective aging is interpersonal, it embodies processes of thinking about the self in relationship to others. We utilize data from the 100-day microlongitudinal Personal Understanding of Life and Social Experiences Project to explore how self-perceptions of aging differentiate the processes by which older adults shape interactions with close social ties to support progress toward a meaningful health goal in everyday life. Those with more positive self-perceptions of aging identified more friends among their closest social ties and reported a higher levels of goal progress and support toward that goal during the study period. Further, multilevel random coefficient models showed that goal progress on a given day was more sensitive to received support on that day among those with more positive self-perceptions of aging. The implications for adult development and shared experiences of aging within friendship networks is discussed."}
+{"text": "Parker The authors regret that the incorrect middle initial was given for Samantha Y. Chong in the original article. The corrected author list is as shown above.The Royal Society of Chemistry apologises for these errors and any consequent inconvenience to authors and readers."}
+{"text": "Impaired cognition is often overlooked in the clinical management of depression, despite its association with poor psychosocial functioning and reduced clinical engagement. There is an outstanding need for new treatments to address this unmet clinical need, highlighted by our consultations with individuals with lived experience of depression. Here we consider the evidence to support different pharmacological approaches for the treatment of impaired cognition in individuals with depression, including treatments that influence primary neurotransmission directly as well as novel targets such as neurosteroid modulation. We also consider potential methodological challenges in establishing a strong evidence base in this area, including the need to disentangle direct effects of treatment on cognition from more generalised symptomatic improvement and the identification of sensitive, reliable and objective measures of cognition."}
+{"text": "Pathogens initiated this Special Issue. Epidemiology is a field that combines specialist knowledge of many disciplines, considered a facilitator of communication and various diverse skills.One Health is a popular headline for an all-inclusive concept of our scientific work. It is not a new concept, but one along that we have been researching for many decades, if not centuries. Nevertheless, the term has become a keyword used worldwide for an inclusive approach to investigating issues such as pathogens in our various environments and host species. It was with this intention that We are very pleased with to present ten original publications covering the molecular properties, distribution and surveillance of pathogens and vectors. A few examples:A sampling methodology for the surveillance of mosquitos and arboviruses in Florida was more efficient when stratified by a vertical gradient;Genotyping parvoviruses of dogs and cats in Sri Lanka allowed identification of cats as possible source of the virus for dogs;A hitherto unknown zoonotic risk emerged from a study of illegally traded companion animals in Italy and Austria;A study in Barbados resulted in the identification of the seasonal and occupational distribution of human orthohantavirus infections among febrile patients;We now know that the majority of genotypes of equine herpes virus 5 from Poland clustered within two main groups and similar viruses circulated in geographically distinct locations without any apparent age predisposition;An investigation of re-emerging rabies virus in Southeast Asia demonstrated a need for collecting data in remote locations for detecting drivers of emergence.Leptospira spp., about virulence factors of the avian-pathogenic Escherichia coli (APEC) to inform antibiotic therapy, vaccine development and virulence inhibitors, and about the economic loss of the zoonotic Ross River virus (RRV) transmitted from horses to humans. A more confined investigation described an outbreak of canine distemper in a rescue centre.In addition, three reviews detail the merits and limitations of diagnostic assays for describing the diversity of This Special Issue intended to provide \u2018insights into the ecological behaviour of pathogens and their impact on human and animal populations and environments\u2019. We believe the ten publications have significantly contributed to achieving this goal. We would like to thank our colleagues and authors who collaborated and crafted articles describing their scientific thinking and outcomes."}
+{"text": "There is considerable interest by many stakeholder groups in developing new therapies in Alzheimer\u2019s disease (AD). Increasing interest in the treatment of pre-clinical disease and measurement of associated long term outcomes using RWD is being explored as the use of RCTs in this context can be limited. Many challenges exist in generating RWE to support regulatory submissions in this disease population including lack of important clinical variables such as disease severity and progression in existing data sources. We will discuss the AD RWD landscape with a focus on challenges and future directions for the use of RWD to generate RWE supportive of regulatory submissions for pharmaceutical products."}
+{"text": "The progressively lowered stress threshold model suggests that due to impairments in coping, persons living with dementia have a reduced threshold for stress and respond with more behavioral symptoms of dementia as stress accumulates throughout the day. While the propositions of the model have not been evaluated, this model serves as the basis of non-pharmacological interventions for behavioral symptom management aimed at modifying the environment to reduce stressors. These interventions have mixed success, which may be due to traditional longitudinal measurement models that don\u2019t account for the dynamic temporal nature of behavioral symptoms. This paper evaluates the progressively lowered stress threshold conceptual model as an explanation for behavioral symptoms of dementia and tests several of its hypothesized propositions using an intensive longitudinal design. A sample of N=165 family caregivers completed brief daily diary surveys for 21 days (n=2841) reporting on behavioral symptoms of their care recipients. Dynamic structural equation modeling was used as the analytic technique to examine the impact of caregiver and care recipient environmental stressors on the diversity of behavioral symptoms of dementia (number of different symptoms) to account for the nested data structure and autoregressive relationships. Results show direct relationships between environmental stressors and diversity of behavioral symptoms of dementia that same day and the following day. Findings provide support for the progressively lowered stress threshold model. Further, findings suggest an extension to the conceptual model is warranted given evidence of an exposure/recovery trajectory and the lagged effects of stress exposure on behavioral symptoms of dementia presentation."}
+{"text": "Older adults experiencing cognitive decline, including those with Alzheimer\u2019s disease and related dementias, are at-risk for social isolation and participation restrictions, especially given the COVID-19 pandemic. Previously examined research has primarily focused on reducing problematic behaviors and remediating cognition for individuals with cognitive impairments. In this symposium, we will discuss novel intervention approaches and under-studied aspects of lifestyle behaviors that minimize social isolation and maximize participation for older adults with Alzheimer\u2019s disease and related dementias. Information presented in this symposium is intended to inform future intervention research to achieve an optimal quality of life for those with cognitive impairments. The first presentation will describe an analysis of lifestyle behaviors and cognition in an older population. The second presentation will discuss the development of an intergenerational, active music intervention that is delivered virtually to individuals with dementia and their caregivers. The third presentation will describe the effects of an adaptive horseback riding program that is becoming increasingly prevalent and improves the quality of life of persons living with Alzheimer\u2019s disease and related dementia."}
+{"text": "Sleep quality has been considered as one of the most important parameters of good sleep health. A recent study conducteThe strength of the study lies in the inclusion of various ethnicities and groups across the country. Similar studies with regional modifications need to be performed in other countries to find out the modifiable factors that can help in improving quality of sleep as well as overall health of the population. Inclusion of sleep medicine specialists at district/county-level hospitals would further enhance the health indices significantly in the coming years.The recent advancements in artificial intelligence based trackers and diagnostics bring a lot of hope for affordable sleep health improvement applications . Ethical"}
+{"text": "Funding statement. The corrected statement appears below and replaces the Acknowledgments.In the original article, there were errors in the \u201cThe authors extend their appreciation to the Deputyship for Research & Innovation, Ministry of Education in Saudi Arabia for funding this research work through the project number: IFP22UQU4331317DSR174.\u201dThe authors apologize for these errors and state that this does not change the scientific conclusions of the article in any way. The original article has been updated."}
+{"text": "Recent years have provided unprecedented opportunities to advance translational science in obstetric and pediatric pharmacology. With our Insights 2021 Research Topic presented herein we also appreciate that there is still much to do. Previous works have pointed out some of the challenges in our domain; many of these relate to the still conservative nature of clinical research in obstetric and pediatric populations and sub-populations but alsoKoch et al. remind us that there are opportunities for these newer quantitative approaches to be applied in perinatology, providing an excellent application in the treatment of jaundice in preterm and term neonates.An encouraging theme among these papers is that they not only that they address the aforementioned knowledge gaps, but they all represent building blocks by which future preclinical and clinical investigations in obstetric and pediatric pharmacology can proceed. DBS assays have been around for a long time with many illustrating the benefit in the clinical conduct in obstetric and pediatric clinical trials and still there is a reluctance to invest in the approach prospectively to support new drug research and development due to concerns about transitivity and cross-validation with traditional analytical methodologies and regulatory acceptance . LikewisTherapeutic proteins still represent a gap as a modality for pediatrics and pregnant women though new promising agents in this class provide an opportunity to fill these gaps in addition to benefit patients.Meibohm paper highlights the knowledge gaps and prioritizes efforts to reduce them for the purpose of accelerating new TP development in these at-risk populations.Their development however typically requires some manner of bridging from small molecule experience in these populations. Cell and gene therapy for obstetric and pediatric pharmacology populations continues to be an important therapeutic modality requiring additional study. Several critical therapeutic areas including cancer, ischemia, and several rare diseases all reprThese papers are both timely and clinically relevant in their own right, but they are also likely to be foundational for future work to come. Obstacles remain for obstetric and pediatric pharmacology investigation."}
+{"text": "There is strong and consistent evidence that leisure-time physical activity (LTPA) improves cardiovascular health and reduces the risk of all-cause and cardiovascular mortality. Less is known about health effects of occupational physical activity (OPA), and results are not in favor of a beneficial effect on cardiovascular health. Several large-scale prospective studies have found that high occupational physical activity (OPA) is associated with detrimental or no effects on cardiovascular health and mortality. These contrasting associations with cardiovascular morbidity and mortality for LTPA and OPA have coined \u2018The Physical activity health paradox'. Although the underlying physiological mechanisms are not established, a theoretical framework was proposed by Holtermann and colleagues (2018). This framework suggests that due to the nature of OPA , it may not result in healthy adaptation to the same extent as LTPA, or even lead to unhealthy responses, such as elevated 24-hour heart rate and blood pressure and increased inflammation. Drawing on theoretical models and empirical findings, the aim is to summarize the literature regarding potential physiological mediators of the physical activity health paradox. This also includes a brief summary of our own research based on accelerometer measurements of physical activity with cardiovascular regulation assessed by heart rate and blood pressure in workers with low occupational class and manual work."}
+{"text": "This study aims to assess the impact of the relationship quality between parents and children on parents\u2019 cognitive function in later life, with an additional focus on variation by parents\u2019 gender. We analyze data from a nationally representative longitudinal panel survey of participants age 50 and older. We employ latent growth curve models (LGCM) to estimate how changes in parent-child relationship quality are related to cognitive trajectories over time. Maintaining frequent contact with children and receiving more support from children are associated with a slower rate of cognitive decline for older parents whereas experiencing relationship strain with children is associated with a faster rate of cognitive decline for older parents. These associations are stronger for mothers than fathers. This study highlights the importance of the \u201clinked lives\u201d of aging parents and their children. The findings have implications for the development of interventions and strategies to protect cognitive function in later life."}
+{"text": "It has been suggested that liberal values such as lack of autonomy and burden discourses shape the public\u2019s relation toward people with health problems. However, previous research on the role of such values on one\u2019s recovery and well-being is scarce.We investigated whether perceived autonomy mediates the impact of stigma and negative social experiences on life satisfaction and recovery.Our sample, drawn from a subsample of the Swiss Household Panel survey, consisted of 326 individuals reporting a mental health problem and 354 individuals reporting a physical health issue . We tested a model where perceived autonomy, measured with four items drawn from the Acceptance of Illness Scale (AIS), mediates the impact of experienced stigma and negative social experiences on health satisfaction and self-reported recovery.Our analysis of direct and indirect paths confirmed our hypothesis. Our model showed a good fit to the data for persons with a mental health problem and an adequate fit for persons with a physical health problem .Our results provide empirical evidence for the potentially self-stigmatizing role of the autonomy ideal for people with health problems and invite for the development of further research and practice regarding this role.No significant relationships."}
+{"text": "Multidisciplinary management of breast cancer patients has become standard of care. It has been shown that patients managed by multidisciplinary teams have better disease outcome and better quality of life. In a large retrospective cohort study analyzing outcome data of 13,722 breast cancer patients diagnosed between 1990 and 2000 at an NHS Hospital in Scotland, it was shown that after the introduction of multidisciplinary care, breast cancer mortality was 18% lower compared to hospitals performing traditional care and first president of the Central and Eastern European Academy of Oncology (CEEAO).The development of the final version of the texts published in this Issue of Pathology & Oncology Research followed a methodology similar to the formulation of the Hungarian Consensus Documents; i.e., the Hungarian documents \u20137 were tThe set of documents published in this issue of Pathology & Oncology Research \u201313 comprIn the first document , standarThe second document on pathology workup and reporting includesThe third text includesThe fourth document summarizThe fifth document on medical oncology describeThe sixth document gives guidance for follow up, rehabilitation and psycho-oncology and is a"}
+{"text": "This research focuses on a current social welfare problem: unemployment and the loss of employer-based health insurance among non-elderly adults aged 18 to 64. The literature covers this social problem in terms of health status, access to medical care, employed versus unemployed working-age adults, mitigating the risks of unemployment, and loss of health insurance via the Consolidated Omnibus Budget Reconciliation Act of 1985 (COBRA) and the Health Insurance Portability and Accountability Act of 1996 (HIPAA). As good as the findings are, they are methodologically limited by looking at only half the story. This research asks a different question: how might the humanities and arts-based perspective address the social problem? It aims at answering why the employment status is related to health and health insurance. Chinese poetry has a long rich tradition of expressing insights about the inner life since antiquity to the present. These reflections include practice wisdom and keen observations on aging. This poster presents case findings on the use of Chinese poetics to inform aging care in the West. Each case provides discussions on why social welfare system comes up short to solve the problem and how the social welfare system can be effectively changed. Researchers use survey data to compliment Chinese poetic insights about employment status and insurance status to illustrate the correlation between respondents\u2019 health status with versus without employment. Findings are hoped to interpret the role of family as a social unit where it consists in social welfare along with the speculative inquiry of poetry."}
+{"text": "Psychiatric disorders may be one of considerable contributing factors for dry eye symptoms and the severity of subjective symptoms of dry eye are often related to psychological factors.The aim of this research was to determine which of two chosen questionnaires for subjective symptoms of dry eye (Ocular Surface Disease Index and Schein questionnaire) is more reliable in the assessment of dry eye in patients with schizophrenia.Our research included 80 patients of both sexes with schizophrenia ranging between the age of 25 and 55 who have been taking antipsychotics for five years and were in remission. All participants were required to satisfy all included and excluded criteria. They all filled out the Schein and OSDI questionnaires for assessment of subjective symptoms. Tear break-up time test (TBUT) for objective evaluation of tear film stability was also performed. In order to determine the correlation between two subjective and objective tests we calculated Spearmans correlation coefficients.A analysis shows that there are no statistically significant differences between the correlations. Both subjective questionnaires are statistically significantly and negatively related to the TBUT test, showing that an increase in the results on the OSDI and Schein\u2019s questionnaires led to the decreases in the results on the TBUT test.In patients with schizophrenia the OSDI and Schein questionnaires are equally reliable in the assessment of subjective symptoms of Dry eye disease. Considering that, OSDI is more common in clinical practice, it is recommended for use in patients with schizophrenia.No significant relationships."}
+{"text": "This paper first introduces major aspects of the Japanese Act on the Prevention of Elder Abuse, including trends in substantiated elder abuse cases in both institutional and domestic settings, definitions of elder abuse, and abusers and reporting systems. It then introduces the recent amendment of operational standards in institutional settings made by ministerial ordinance. The amendment includes a requirement to develop a committee to prevent occurrence and recurrence of elder abuse and to appoint a designated individual to establish guidelines and implement training. It is hoped to further prevent elder abuse in Japan."}
+{"text": "Currently anxiety and depression are the fourth leading cause of morbidity. Anxiety is the most common mental disorder from which 20% of the adult population suffer worldwide and has become a significant research area in the field of psychopharmacology . AnxietyMajor depressive disorder (MDD) is also one of the most common psychiatric disorders, posing serious public health problem . AccordiIn the last few decades have seen a significant rise in the use of natural remedies to treat various ailments including depression and anxiety. These products are perceived as safer alternatives to pharmacotherapy, with lower risk of adverse effects or withdrawal. Considerable efforts have been made in recent years to discover substances from natural sources particularly plants which can help prevent these serious mental disorders. Natural products are small molecules present in divergent natural sources. They are considered to possess one of the most coveted positions in the treatment of all human disorders including anxiety and depression. They are considered to be the most important source of novel drug leads . The impvia different mechanisms that may provide quick onset of action for relieving anxiety and depression symptomatology. Furthermore the newer agents may prevent the aforementioned adverse effects and provide effective treatment to the non-responsive patients to the conventional drugs.In view of the above, there is a dire need for the discovery and development of novel antidepressant agents acting This Research Topic focuses on original contributions for natural products being useful in various mental disorders particularly anxiety and their possible mechanisms of action."}
+{"text": "Good metadata, local ownership and fair reuse of genomic and outcome data can be sustained in partnership among well\u2010resourced and well\u2010peopled regions of the world.\u201cA Perspective in this issue recounts the endeavors of the collaborative Virus Outbreak Data Access Network (VODAN)\u2014AfricaGenome data is cheap, plentiful, and concentrated in a few wealthy places, even relative to the information web, where less than 1% of the world's servers serve over 99% of the web content.In contrast to genome data, personal experiences including exposures and clinical records are distributed across institutions, homes, families, and individuals. Lifelong trust that sharing this information brings better outcomes for the donors is essential if we are to use this living biobank of diverse experience to make sense of variation in both viral and human genomes. Information from affected and unaffected individuals is needed to understand the importance of even point mutations in small viral genomes\u2014such as the SARS\u2010CoV\u20102 variants that continue to cause so much disruption and disease worldwide. Yet this data has not been gathered from places where the disruption is occurring, largely because we do not yet have collection networks with the trust and capacity to sustainably return results within the region of study.There are now several related functional technologies for linked data to deliver the aspirational goals laid out in the principles of FAIR data and services. These working together would amount to a mercantile revolution in the global data trade rather than the gold rush metaphor of the Perspective.The VODAN project has contributed to capacity building through its active interdisciplinary cooperation informatics training plan and has greatly promoted the cause of equitable autonomous and secure data ownership. However, it may be some time before the participating sites will be able both to innovate and interoperate fully on the same network in a distributed fashion as the project was originally conceived. Problems inherent in the stability of each local datastore's query protocol service and the potential for inadvertent divergence in implementation led to a tactical decision instead to use centrally provided metadata templates and mirrored storage at a secure central site (CEDAR). This redesign shows that central providers may gain sufficient trust, and partner through secure hosting and open commitment to the storage, organization and ownership of data by the participating local informatics communities across the network. The dream of building distributed capacity together across data rich and resource rich regions remains alive and compelling as ever.Myles Axton: Writing\u2010original draft; writing\u2010review & editing."}
+{"text": "There is a critical need to grow and strengthen the pipeline of physician scientists who have expertise in sociomedical and behavioral research and are dedicated to addressing the nation's challenges posed by Alzheimer's disease and related dementias (ADRD). In 2021 The Indiana ADRD Medical Scientist Training Program (IADRD MSTP) was designed to meet this need and is built on the infrastructure of a robust portfolio of ADRD research, graduate training programs in medical neurosciences and sociology, and our existing MD-PhD program at Indiana University School of Medicine. The Aims of the IADRD MSTP are: 1) To recruit and train a competitive pool of diverse students who have an interest and commitment to social and behavioral research and patient care focused on ADRD; 2) To engage MD-PhD students early in mentored sociomedical and behavioral research that integrates IUs systems-based medical training curriculum with our cutting edge ADRD research that reinforces commitment and minimizes attrition of physician-scientists ADRD; and 3) To graduate students with dual MD-PhD degrees with strong methodological training in social and behavioral science and experts in ADRD who will be successful independent investigators at the best academic medical centers nationwide. The program includes rigorous didactic training in social, behavioral, and clinical research methods, with flexibility to allow students to focus their effort on one methodological area of interest; early initiation of ADRD research experiences with multidisciplinary teams of mentors and advisors; and the provision of educational experiences that enhance students' abilities to become independent researchers."}
+{"text": "A physicians work is closely related to patients and the understanding of their problems. The use of psychotherapeutic methods is a factor for successful care . At the same time burnout is a syndrome that can affect the health of doctors themselves thus reflecting on the quality of care they can provide .To investigate the use of psychotherapeutic methods in family physicians work in Latvia and the association between burnout rates and the use of these methods in practice as well as different demographic and work-related factors.A cross sectional study was carried out. An anonymous online form that contained questions about the demographic data, psychotherapeutic methods/techniques mastering and usage and questions from the Maslach Burnout Inventory was sent out to the publicly available email addresses of family physicians in Latvia. The collected data was analyzed using Microsoft Excel and IBM SPSS software.Together 54 responses were received from all regions of Latvia. The analysis found association between work hours per week, patients seen per week, usage of psychotherapeutic methods and burnout. More hours per week was associated with higher rates of depersonalization and burnout . More patients per week was associated with higher rates of burnout . Being unsure if they were using any psychotherapeutic methods was associated with higher rates of depersonalization .The data obtained allows a better insight in to the usage of psychotherapeutic methods, everyday work and the association with burnout rates in family physicians."}
+{"text": "This article has been retracted: Aging has completed its investigation of this paper. We found overlap between some transwell assay images used for Figures 3G and 6E and data previously published by different authors. The authors confirmed the overlap and also raised a concern that the statistical methods used for some analyses were inappropriate. As a result, all of the listed authors agreed that the article should be retracted.The Administration of the First Affiliated Hospital of Xinxiang Medical University was notified about the retraction by Aging Journal. The Ethics Committee of The First Affiliated Hospital of Xinxiang Medical University agreed that this paper should be retracted because the errors in the statistical methods led to an insufficiently rigorous analysis of the results and because of the improper use of several pictures included in this manuscript. The authors deeply regret any inconvenience this publication has caused for the scientific community."}
+{"text": "Pogostemon cablin Benth) using a microwave air-hydrodistillation method as a new green technique\u2019 by Heri Septya Kusuma et al., RSC Adv., 2017, 7, 1336\u20131347.Expression of concern for \u2018The extraction of essential oils from patchouli leaves ( RSC Advances is publishing this expression of concern in order to alert our readers that we are presently unsure of the reliability of the data reported in the article.Periodica Polytechnica Chemical Engineering, 2017, 61, 82\u201392), which has not been cited in this RSC Advances paper. The reproducibility seen between the GCMS data in these two papers is very unlikely. The authors have been unable to provide raw GCMS data for the measurements presented in the RSC Advances article.The Royal Society of Chemistry has been provided with credible information suggesting that the GCMS results presented in the paper may not be reliable. The majority of the microwave hydrodistillation (MHD) GCMS data presented in Table 5 has been reproduced from a previously published paper by the authors (The Royal Society of Chemistry is currently seeking support from the affiliated institution in order to investigate this matter and establish whether the reported results are reliable. An expression of concern will continue to be associated with this manuscript until we receive information from the institution on this matter.Andrew Shore19th November 2018RSC AdvancesExecutive Editor,"}
+{"text": "Older adults living with chronic illnesses, such as diabetes, cancer and heart disease, have an increased risk of poor mental health outcomes. While a link between living with chronic illness and depression have been examined in previous studies, relatively little is known about factors that increase and decrease the risk of suicidal ideation among older adults living with chronic illness. Using data from the third wave of the Midlife in the United States (MIDUS) database, we examined the relationship between living with a chronic illness were more likely to endorse thinking about death in the previous two weeks . The analysis also revealed that the likelihood of suicidal ideation in the previous two weeks increased with the number of chronic conditions reported by participants . The results of this study are consistent with previous studies suggesting a relationship between older adults living with a chronic condition are at a higher risk of suicidal ideation. Findings from this study can help inform intervention development to support mental health of older adults living with chronic illness. Future studies are needed to examine additional psychosocial factors that may mediate the relationship between living with a chronic illness and suicidal ideation among older adults."}
+{"text": "Alzheimer\u2019s Disease and Related Dementias (ADRD) affect one in nine adults aged 65 and over. Past research has demonstrated the need for services that improve quality of care for those with ADRD and their caregivers. Those with ADRD are at a greater risk for negative health outcomes. Therefore, it is crucial that those with ADRD receive care consistent with their preferences. However, more research is needed to shed light on effective tools available and patterns of advance care planning (ACP) when it comes to those with ADRD and their caregivers. This symposium highlights the landscape of ACP communication among those with ADRD and their caregivers. The session begins with a study that explored experiences of apathy and preferences for dyadic-communication via mobile health among adults with mild cognitive impairment and their care-partners. The second presentation demonstrates the feasibility and effectiveness of a palliative care education in assisted living program for nurses and administrators on increasing ACP discussions with family caregivers of residents with dementia. The third presentation investigates ACP among African Americans with ADRD and their caregivers and the critical role the community can play in facilitating communication. The final presentation explores how ACP differs by race, ethnicity and ADRD status using data from the 2018 Wave of the Health and Retirement Study. Future directions for implementation of these innovations for improving ACP communication among caregivers and persons with ADRD will be discussed."}
+{"text": "To continue to monitor trends in detentions under the Mental Health Act based on race, age, gender, and sexuality during the COVID-19 Pandemic to consider if there were any specific areas that would need to be addressed.We investigated available mental health detention documents stored in mental health legislative office, Birmingham and Solihull mental health foundation NHS Trust.We found that detentions under Section 3 of the Mental Health Act have increased very gradually over the last three years (2018 to2021). However, there has been gradual reduction in detentions under Section 3 within the white population beginning in 2019 and continuing with a marked acceleration in reduction during the two peaks of the pandemic. This is marked in the 66yrs plus age group. As the pandemic has eased this reduction has stopped and reversed with increased section 3 admissions in last few months in this population. The detentions in the black and Asian population have followed a reverse pattern, with marked increase during the pandemic peaks in 2020/2021 and a marked fall as the pandemic has eased.Mental health act detention data during the Pandemic shows that the pandemic has disproportionality impacted black and Asian population of all ages and Elderly white population.During the pandemic there has been a marked increase in detentions under Section 3 of the Mental Health Act (for treatment) in the Black and Asian population with a marked reduction in the white population. This difference is stark in the working age population.The need for a well-functioning community based health and social care offer to reduce detentions in the black and Asian population.Return of admissions under the mental health act of white elderly post vaccination (which are vast majority white) shows a reversal of the trend of this group not accessing inpatient treatment fully during the pandemic.This highlights:Community Treatment Order (CTO) detentions in the Black and Asian population continue to increase through the pandemic disproportionatelyThere is no material change during the pandemic, in short term detentions ) or other inpatient detentions under the Mental health actThere are no significant trend changes noted based on gender or sexuality or age during the pandemic in BSMHFT ."}
+{"text": "Cross-border health data sharing is essential to facilitate vital health research into new treatments and to improve patient care and safety across Europe. The flagship European Health Data Space (EHDS) aims to promote better exchange and access to health data through the creation of a European-wide infrastructure. However, significant barriers to cross-border data sharing must first be resolved in order to fully ensure the successful functioning of the Data Space. To this end, the European Commission established a Joint Action (TEHDAS), as the policy development tool for the development of the EHDS. This presentation will be based around the findings of the recent TEHDAS report \u2018Barriers to cross-border sharing of health data for secondary use and options to overcome them.\u2019 The report draws on the results of a dedicated literature review, 133 case studies from across 23 countries and expert interviews to identify the primary barriers to cross-border data sharing and options to overcome these from the perspective of European data users (research and policymakers). The session will start with a concise presentation of the report methodology. The research team will then deliver an interactive presentation, in which they succinctly outline each barrier and policy option and ask participants to vote for their preferred policy option to overcome each barrier identified. EUPHA participants votes will inform the final TEHDAS recommendations on mitigations and solutions for barriers to cross-border data sharing which will be submitted to the European Commission for incorporation in the European Health Data Space legislative proposal."}
+{"text": "As a part of continuous destigmatization of mental illness and paople with mental disorders significant importance has media reporting, especially in modern times.Media reports about mental health (MH) are still an issue of a great discussion concerning their content especially in ethical matters. Many initiatives in different countries resulted in various changes in attitudes and influenced on this topic. But the image of mental illness as well as psychiatry in general are still burdened with the shadow of stigma.To show development of one of initiatives in Bosnia and Herzegovina (BH) supported by policy makers through the creation and broad distribution of recommendations for ethical media reporting about mental disorders.In 2019 Task Force appointed by both entities\u2019 ministries of health in BH developed an publication with recommendation for ethical reporting about mental health topics with special highlights on specific mental disorders . It was widely distributed to media and health institutions in the country and was officially adopted as the recommendation of the national Regulatory Agency for Media. Trough five rounds of educational workshops in 2019 and 2021 more than 150 media and mental health professionals were introduced with the publication as well as practical implementation of this recommendations (as is exercises of giving statement).In BH is developed very useful tool for more quality media reporting about MH topics as one of important ways for reducing the stigma and discrimination of people with mental disorders as well as promotion of good mental healthNo significant relationships."}
+{"text": "There has been an increasing focus on the importance of national policy to address population levels of physical inactivity. It has been suggested that the four ?cornerstones' of policy comprise: 1) national guidelines on physical activity levels; 2) setting population goals and targets; 3) surveillance or health monitoring systems; and 4) public education. The aim of the current paper was to analyse the policy actions which have addressed each of these elements for children and youth in England and to identify areas of progress and remaining challenges.A literature search was undertaken to identify past and present documents relevant to physical activity policy for children and youth in England. Each document was analysed to identify content relevant to the four ?cornerstones' of policy.Physical activity guidelines for children and youth have been in place since 1998 and reviewed periodically to ensure they reflect the latest scientific evidence. The setting of physical activity targets has focused on the provision of opportunities for physical activity, particularly through physical education (PE) in schools, rather than in relation to the proportion of children meeting recommended physical activity levels. There has been much surveillance of children's physical activity but this has been undertaken infrequently over time, by a wide range of organisations, and with varying inclusion of different domains of activity such as school PE, leisure time activity and active travel. There has only been one campaign in England targeted at children and their intermediaries (Change4Life), which was an obesity campaign focussing on dietary behaviour in combination with physical activity. Most recently an infographic supporting the physical activity guidelines for children and young people was developed, but details of its dissemination and usage are unknown.There have been many developments in physical activity policy in England targeted at children and youth. The area of greatest progress is national physical activity guidelines. Establishing prevalence targets, streamlining surveillance systems, and investing in public education would strengthen national policy efforts to reduce physical inactivity."}
+{"text": "Digital infrastructure and connectivity is layered and requires a number of defined viewpoints in order for safe data flow and use to occur. To address context specific challenges to support communication in health and social care, health informatics standards supporting interoperability are key. In this skills building seminar we will introduce participants to a standards based roadmap for interoperability. We will provide examples of projects and resources detailing the process of engagement to optimise system design for sustainability through a use case based approach."}
+{"text": "Intergenerational relationships have been present features in texts from the American literary canon that often problematizes the intersections of age and gender. This paper investigates how representations of intergenerationality provide the opportunity to explore the concepts of relationality and intersectionality through a feminist lens. Maierhofer\u2019s concept of anocriticism was used in in the analysis of Julia Alvarez\u2019 In the Time of the Butterflies (1994) and Yaa Gyasi\u2019s novel Homegoing (2016) to validate individual experiences of gendered ageing. This paper presents ways in which this particular intersection can be viewed as a potential site of resistance towards what it means to grow old as a woman. Placing literature in a cultural, social, and political context, traditional paradigms can be reconstructed and heteronormative assumptions of age and gender can be deconstructed by focusing on the individual narratives and their potential for resistance."}
+{"text": "Owens In order to avoid misleading readers, the sentence on page 35448 \u201cThe same clean disposable plastic nozzles have previously been used by Babel and Rudolph,The Royal Society of Chemistry apologises for these errors and any consequent inconvenience to authors and readers."}
+{"text": "Cell cycle checkpoints are surveillance mechanisms in eukaryotic cells that monitor the condition of the cell, repair cellular damages, and allow the cell to progress through the various phases of the cell cycle when conditions become favorable. Recent advances in stem cell biology highlight a mitochondrial metabolic checkpoint that is essential for stem cells to return to the quiescent state. As quiescent stem cells enter the cell cycle, mitochondrial biogenesis is induced and mitochondrial stress is increased. Mitochondrial unfolded protein response and mitochondrial oxidative stress response are activated to alleviate stresses and allow stem cells to exit the cell cycle and return to quiescence. These processes are critically regulated by several sirtuin family members, which are NAD+-dependent deacetylases. Because loss of stem cell quiescence results in the depletion of the stem cell pool and compromised tissue regeneration, deciphering the molecular mechanisms that regulate the mitochondrial metabolic checkpoint in stem cells will increase our understanding of tissue homeostasis and how it becomes dysregulated under pathological conditions and during aging. More broadly, this knowledge is instrumental for understanding the maintenance of cells that convert between quiescence and proliferation to support their physiological functions."}
+{"text": "For the study, the animals were observed exclusively by video cameras and no manipulations of the animals were necessary. Therefore, ethical approval for animal experimentation by an institutional animal care and use committee was not considered necessary in our jurisdiction.\u201dThe animal ethics statement on page 218 should be revised as follows (addition in bold): \u201cThis study was conducted on a commercial Austrian dairy farm in May 2019. The farmer gave his informed consent to the use of the accelerometer data and video recordings of his animals."}
+{"text": "A thread common to all disasters is the effect on human health that results when the health care infrastructure and delivery of health services are disrupted. This view has reinforced the importance of an all \u201call-hazards approach\u201d to preparedness, whereby disaster response planning incorporates principles common to all events and can be adapted to specific contingencies. Preparing for and responding to a disaster in long-term care (LTC) requires a broad view of multiple events that can disrupt daily life and needed services for LTC residents . This symposium will examine the effects of varied emergency events on older adults residing in nursing homes (NHs) and assisted living communities (ALCs) using quantitative and qualitative methodologies. The first presentation will discuss morbidity and mortality of NH residents exposed to Hurricane Harvey (Texas). The second is an investigation of NH direct care staffing during the recent Winter Storm Uri (Texas). The third presentation qualitatively explores the challenges of providing care to residents living with dementia during the COVID-19 pandemic, based on interviews with Florida NH and ALC administrators. The fourth quantitatively and qualitatively explores issues related to resident-to-resident contact restrictions in Florida ALCs. Finally, we will discuss the application of the 4Ms Age Friendly framework to disaster preparedness in LTC. This symposium will provide information that can be used to develop or revise public policies to improve preparedness for and response to a range of emergency events in NHs and ALCs."}
+{"text": "Cultural barriers and prejudices of mental healthcare professionals may promote inequalities in the provision of care to immigrant population and have a negative impact in provided service quality.To identify barriers and facilitators of immigrants\u2019 accessibility to mental health services.A literature review has been made through PubMed database.Immigrants\u2019 accessibility to mental health services may be related to social insurance problems, inadequate knowledge about their health rights, inadequate knowledge of the local language, as well as the bureaucracy of Greek State which may complicate mental health examination and treatment. The challenges faced by mental healthcare professionals in terms of diagnosis and treatment of migrants include communication difficulties due to linguistic and cultural differences as far as verbal presentation of symptoms and illness behavior is concerned. Culturally competent mental health professionals should work to erase racism and prejudice, to be familiar with cultural issues and have adequate knowledge related to cultural groups, to learn the life story of each patient separately and encourage patients to explain how their illness affects their lives, promoting a trustful communication environment in the context of healthcare provision.Exploring the specific needs of migrants as well as assessing the degree of satisfaction from their access to healthcare services are essential to providing integrated mental health care for people from different culture.No significant relationships."}
+{"text": "The authors have provided the original correct data for 0.03 MPa.The Royal Society of Chemistry has asked the affiliated institution (Tianjin University) to investigate this matter and confirm the integrity and reliability of the new data and figures provided.An expression of concern will continue to be associated with this manuscript until we receive information from the institution on this matter.Laura Fisher10th November 2022RSC AdvancesExecutive Editor,"}
+{"text": "This presentation gives a real world and compelling picture of the abuse of older adults, with authors representing three different World Health Regions each locating the problem within an area\u2019s historic and present societal treatment of older persons. An actual and emblematic case study of the abuse of an older adult will frame each presentation. Presenters will synthesize empirical data and research on the problem, explaining its usefulness and limitations as well as guiding frameworks utilized to address the problem, highlighting efforts of leading figures in each area or region who are addressing the problem and explaining existing policies and future initiatives to address the abuse of older adults. Dr. Eniola Cadmus will present perspectives on elder abuse in Nigeria. Drs. Noriko Tskudada and Asako Katsumata and will present perspectives from Japan. Drs. Farida Ejaz and Mala Shankardass will present perspectives from India. Dr. Georgia Anezberger will tie together the differences and commonalities within each region drawing upon a holistic and person-centered picture of the issue and problem of elder abuse."}
+{"text": "Medical educators and representatives of medical student associations in Australia and New Zealand are collaborating on an initiative on climate change and health in medical educationClimate change and environmental degradation are harming the health of Australians and New Zealanders and pose a serious challenge to our health care systems.Australia and New Zealand have accreditation standards for the education of the regulated health professions. For the medical profession in Australia and New Zealand, standards are maintained by the Australian Medical Council (AMC), including for the 23 university medical schools offering medical programs.A Working Group on Climate Change and Health was formed when medical educators from several Australian medical schools submitted a proposal to the Medical Deans Australia and New Zealand Medical Education Collaborative Committee that it explore the development of model learning objectives and learning resources regarding the impact of climate change on health.\u25aathe evidence for anthropogenic climate change and how this relates to the environmental determinants of health;\u25aathe impact of climate change on health;\u25aathe impact of climate change on the health system;\u25aathe environmental impact of the health sector and the elements of environmentally sustainable health care; and\u25aacreating change, both intra\u2010 and inter\u2010sectorally, through practice, advocacy and leadership.To examine current environmentally sustainable health care education, the Working Group searched the literature, reviewed teaching experience, and benchmarked against relevant courses developed for medical students, including those developed by students for their peers.The current 2012 AMC graduate outcome statements were mapped against these five areas to determine whether they were sufficient or whether amendments or new statements were required. A minimal change approach was adopted, mirroring changes to the accreditation standards adopted in 2018 by the United Kingdom General Medical Council.The Working Group considered that, by focusing on the environment as a determinant of health, climate change would be addressed. As sustainable health care in Australia usually refers to financial sustainability, to avoid confusion, the term environmental sustainability is used. The amendments proposed by the Working Group also introduce the concept that decisions taken today in the care of patients and populations should not compromise the health of future generations.The proposed amendments to the graduate outcome statements represent modest changes to the existing statements. Fourteen statements were identified: ten were modified to be aligned and four did not require amendment. Statements have been identified in all four AMC domains of practice. The Box 1Learning objectives regarding climate change and health in medical and health professional education that support each statement have been identified from recently published literature.The proposed graduate outcome statements and learning objectives were circulated to the Deans of all medical schools in August 2018 for further consideration and as a potential curriculum resource when considering curriculum review. Resourcing changes to curricula is a major hurdle to the successful implementation of change.https://www.amc.org.au/review\u2010of\u2010accreditation\u2010standards\u2010for\u2010primary\u2010medical\u2010programs\u2010medical\u2010schools/). A submission has been provided to the consultation by the authors.However, the suggested amendments will only be sustained and embedded into practice across Australia and New Zealand if they are adopted by the AMC and become part of the Standards for Assessment and Accreditation of Primary Medical Programs. A review by the AMC of the accreditation standards for primary medical programs opened in 2021 and the consultation process for this review continues in 2022 (MJA\u2013Lancet Countdown report aims to report an indicator describing progress on the inclusion of environmental sustainability and the health impacts of climate change in medical curricula in Australia.From 2023, the annual Medical educators internationally and other health professions in Australia have shown strong interest in this collaborative approach to aligning the education of health professional graduates with environmentally sustainable health care.Through this initiative, the collaboration of medical educators and medical student associations in Australasia has shared with all medical schools an approach to incorporating the health effects of climate change and the environmental impact of health care within medical curricula. The work is stimulating a dialogue within faculties and among medical students. The process recognises the essential contribution of the AMC Standards to secure and drive these changes to prepare medical graduates to practise environmentally sustainable health care. Amending the AMC graduate outcome statements to frame curricula change, and working through the network of medical schools, enables system level change in medical curricula. New patterns of disease are already emerging and medical practice is evolving as health care systems are challenged to become more environmentally sustainable; doctors and other health professionals are increasingly using their influence to help society transition to an environmentally sustainable future. Health educators have an essential part to play in preparing future doctors for these roles.The statements or opinions expressed in this article reflect the views of the authors and do not represent the opinion or policies of Medical Deans Australia and New Zealand Inc.No relevant disclosures.Commissioned; externally peer reviewed."}
+{"text": "Dementia is one of the major age-related societal challenges and causes enormous demands for persons living with dementia (PlwD) and their families. We do not understand the origins of this multifactorial syndrome and there is still no cure for dementia. New thinking by the exploration of paradigms has scope to improve knowledge about this complex condition. Social health can be understood as a driver for stimulating the use of cognitive reserve through active facilitation and utilization of the individual\u2019s capacities. It allows to slow cognitive impairment or to maintain cognitive functioning in old age and therefore seems to be a promising approach to a better understanding of the developmental mechanism of dementia.In this international symposium we therefore aim to explore the role of social health in the onset and progress of dementia. The first presentation will present a new framework on understanding social health in dementia. The second presentation will describe convoys of care in a family based culturally sensitive ADRD caregiving intervention reducing care burden and family conflicts. The third presentation reports on the role of immune system and neurodegeneration markers in the association between social health and cognitive brain aging in older adults. The final presentation presents newly derived results from a mixed research synthesis on underlying mechanisms of the interrelation of social health and cognitive functioning, elaborated by the international SHARED-consortium. Our discussant will synthesize the research findings and lead a discussion of future directions for research and practice to successfully fight challenges in dementia care."}
+{"text": "Implantable hemodynamic monitoring may be considered a milestone in the management of patients supported by LVAD because monitoring may dramatically improve the prognosis of these patients.18.See Article page Heart failure is an advanced disease with an increasing influence\u00a0on patient quality life, and the health system. These patients become increasingly frail and hemodynamically more unstable.These factors are major causes of repeat hospitalizations and influence a patient's life by being associated with poor prognosis, poor quality of life, and reduced life expectancy. In advanced and extreme conditions (Intermacs stage 2 or 3), these patients no longer respond to medical therapy and are often kept hospitalized to undergo intensive medical treatment with intravenous inotropic drugs while waiting to undergo heart transplantation or left ventricular assist device (LVAD) implant. During the past decade, more and more attention has been paid to the use of continuous remote implantable hemodynamic monitor (IHM) to prevent both rapid deterioration of the hemodynamic parameters of patients with heart failure (HF) and to monitor continuously the course of patients assisted with LVADs. There is an increasing interest in the use of a wireless IHM in these patients because the CardioMEMS Heart Sensor Allows Monitoring of Pressure to Improve Outcomes in NYHA Class III Heart Failure Patients randomized trial demonstrated an advantage of this device in reducing significantly the rate of readmission compared with patients without a device .,CardioMEMS is positioned in 1 pulmonary artery branch during right heart catheterization and measures the pulmonary artery pressure and the filling pressures. It works according to the hypothesis that filling pressures will increase before other signs of decompensated HF occur. In addition, the usefulness of CardioMEMS is also likely to be found in patients with an LVAD. A decrease in filling pressures recorded by the device is frequent in situations such as hypovolemia and hemorrhage, whereas an increase in filling pressures is often associated with increased pulmonary congestion and in case of cardiac tamponade. Moreover, patients with fixed pulmonary hypertension before LVAD implant can be carefully monitored to verify the trend of pulmonary pressure during LVAD therapy to consider the patient eligible for heart transplant.Lampert and TeutebergCardioMEMS represents a promising tool and should be\u00a0considered a cornerstone in the continuous monitoring of patients with HF and those assisted with an LVAD, especially\u00a0because it could improve their prognosis."}
+{"text": "As people age, they find themselves living similar lives to those around them. This concept is often referred to as linked lives. Linked lives explains that individual lives are often interdependent. This is due to various elements such as social and historical influences. These influences can imprint networks of shared relationships. Researchers have found that the first point of socialization as humans are social relationships with family and friends. However, while the connections of linked lives are often attributed to early life course trajectories, little research has evaluated the interdependency that is created with disabilities in later life. Life course disability research is a key factor of gerontology because a majority of older adults encounter disabilities within later life. This attributed disability can often forge bound and interdependence within people and their own social networks. This paper theoretically examines different perspectives of disabilities research and how it relates to the fundamental principles of linked lives. This paper highlights the gap in the current gerontological understanding of the later life links among older adults with disabilities. This theory paper provides the needed information for gerontologist focusing on older people with disabilities to be able to evaluate allocations needed for providing adequate social support and services tailored towards the needs of these interdependent lives."}
+{"text": "Highlighting the intersectionalities between different markers of diversity and health inequities encourages the reconsideration of normativities in public health (PH). We developed an open access collection of syllabi on the relevance of intersectionality and diversity in PH together with the Association of Schools of Public Health in the European Region (ASPHER).We developed the syllabi in a participatory, iterative process guided by transformative teaching pedagogy. We reflect on this process and how this can inform the enhancement of the syllabi themselves, as well as future curriculum development.We recruited a core group of 9 PH researchers, teachers and professionals from all career levels from participants of introductory session presentations in different settings . The core group met once a month for one year online, and each meeting took the form of co-working sessions in breakout rooms to develop the syllabi based on interest and expertise. We designed a qualitative online survey to evaluate and ensure the scientific rigor and pedagogical value of the syllabi. We invited critical and constructive input from ASPHER member school professionals with expertise in intersectionality, diversity or curriculum development in PH in terms of content and pedagogy.Drawing from the expertise of the PH community we combined diverse professional and cultural backgrounds, experiences from different career levels and PH education systems, as well as specialisation in the PH field. The transformative pedagogical approach was considered particularly valuable in strengthening competences such as reflexive strategies and self-, social- and global awareness which are key to teaching on diversity and intersectionality issues. The peer-review structure supports the uptake in PH education and a sustainable implementation. The collection will also allow PH faculty to diversify their pedagogical approaches.\u2022\u2002Inclusion of health inequities, diversity and social injustice issues is crucial in public health curricula, since an intersectional perspective is increasingly acknowledged in public health research.\u2022\u2002The syllabi collection will equip public health teachers of all career levels to develop their own course material on social identities and their significance for public health."}
+{"text": "Social isolation is an important predictor of mortality and morbidity in older persons. The increase in social isolation is often a result of major life events such as retirement, leading to the loss of social connections. The effects of the pandemic have exacerbated the loss of social connectedness. Measures to ensure social distancing have made technologies like voice and video calling, text messaging, and other phone mediated communication important resources for connecting people. Measuring social isolation often requires periodic administration of a paper survey instrument, like the Lubben Social Network Scale (LSNS). The approach was taken by Lubben for predicting a person\u2019s social isolation level typically involves looking at their general frequency of interactions with family and friends along with the specific frequencies of private, tentative discussions happening during those interactions. This paper explores the process used to develop a tool to measure social isolation continuously and automatically by using an older person\u2019s frequency and tone of telephonic conversations. We categorized a person\u2019s family and friends into three sub-categories based on the self-reported level of closeness shared with them. We then analyzed the person\u2019s conversation (content and tones). Lastly, we trained the deep learning model (Watson) using these captured tone values to determine the social isolation index of the individual. Our preliminary results indicate that we are able to correctly predict their degree of social isolation as judged by Lubben\u2019s scale using their phone conversations. This technology may be promising for the assessment and intervention of social isolation."}
+{"text": "To analyse the linked dataset between England and Wales 2021 Census/Census Coverage Survey and the Demographic Index (DI), would provide insights on quality and coverage, enabling improvements of using admin data to form population/ household estimates for future linkages and to evidence additional admin sources needed to capture the population.The DI is a composite dataset made up of several linked admin sources. Therefore, the linked output is complex, made up of clusters where individual sources within the clusters have been linked to the Census using the different available information across sources. To carry out the analysis, a flagging strategy has been designed to enable analysts to form cuts of the linked dataset that are specific to their research needs. High level research questions have been designed to provide fast paced analysis to inform the National Statistician\u2019s 2023 recommendation on the need for a future Census.Providing insight into how to improve the current linkage methodology of the DIHow we use the DI to construct Statistical Population Datasets Identifying the extent of over and under coverage in the Statistical Population Datasets, allowing development of an appropriate estimation strategy to more accurately estimate the populationThe results will also inform how we utilise linked composite data sources in the future, as we can share the lessons learnt in how we planned to use the data, including our flagging strategy verses the reality faced when undertaking the analysis.This analysis will inform approaches to using linked composite data in the future but also provide a wealth of knowledge including: informing linkage methods, defining the population estimation challenge and providing insights into how we deliver admin based population estimates."}
+{"text": "Middleton reflects on ASPHER\u2019s achievements related to ensuring a vibrant multidisciplinary public health workforce now that he is reaching the end of his term as President for that organization. Finally, Barnhoorn and Busse describe the plenary programme of the European Public Health Conference that will take place 9\u201312 November 2022 in Berlin. Topics range from financial protection and the European Health Data Space to health system performance assessment and health promotion.In this edition of European Public Health News, we will reflect on past achievements and how we build on those for upcoming activities. In my first EUPHA office column I describe the busy yet exciting autumn the EUPHA team has ahead of them and highlight some of our main plans. Kluge"}
+{"text": "Covid-19 pandemic has affected early career psychiatrists (ECP) and psychiatric trainees significantly. Child and Adolescent Psychiatry (CAP) specialists and trainees have a particular position in the pandemic as redeployments to adult units are possibly more disorientating for these psychiatrists normally working in paediatric settings. Redeployments and abrupt but potentially permanent changes to the delivery of service and training are explored via the Covid-19 and Early Career Psychiatrists survey which was prepared and disseminated by the EPA ECP Committee and the European Federation of Psychiatric Trainees (EFPT). The CAP related data from the survey will be discussed in this presentation and the implications on the future of CAP will be considered with particular emphasis on training.No significant relationships."}
+{"text": "A considerable percentage of Health Care Workers (HCW) have experienced psychological distress during the COVID-19 pandemic. Data from previous pandemics suggest that HCW might develop psychiatric disorders. Psychosocial and workplace measures can improve mental wellbeing of the MHW. As part of the program of the Hospital to give support to the HCW, five support weekly open dynamic groups have been carried out with HCW from the COVID Areas of our Hospital including the ICUIdentify recurrent contents in the group that express areas ofconcern Identify HCW in risk of develop a psuchiatric disorder and refer them to their apropiate level oThe sessions were carried out in a freely open group and the contents expressed in the sessions were recorded and analyzed ina narrative way. Special attention was given to the the more stresfull activities identified, to Signs of overload and to the ability to seek relief, as well as signs of disruption of personal life outside of work. Four sessions of 90 minutes, with staff of the same area were established and after these four sessions booster sessions was offered through continuity groups to members with need of more long term care as well as individual care.The recurrent areas identified were Concern about inadequite Personal Protective Equipment Concern about spreading the infection in their own families Need for relief and avoid double turn Uncertainty about the course of the illness Exposure to patients suffering and dyingHCW need nor only psychological support but also pragmatic measuresNo significant relationships."}
+{"text": "Caring for an individual with dementia may result in caregiver stress and burden , which can lead to detrimental health outcomes if not managed with effective coping skills and support . Access to support and psychoeducation is limited in rural and frontier communities, and solutions are needed to reach caregivers across sparsely populated regions. Project ECHO is an evidence-based model designed to improve patient outcomes through healthcare provider education. The Wyoming Dementia Together Caregiver Network is the first of its kind to adapt the ECHO model for family caregivers of persons with dementia. This presentation details evaluation results of 24 session across 52 weeks (n=162). Results suggest that adaptation of Project ECHO for family caregivers is feasible and palatable. In addition, the adapted program shows promise for improving caregiver outcomes such as depressive symptoms and caregiver burden."}
+{"text": "Schizophrenia (SCH) and bipolar affective disorder (BP) are complex disorders that overlapping both in their clinical symptoms and certain familiar characteristics. They share some common characteristcs but there are also key differences. The frequency of overlapping symptoms between these diseases could give us more information about the current validity of the diagnosis based on existing diagnostic criteria. Similarities within and between these two disorders in the future, can possibly redefine greater reliability of diagnosis.The aim of the study was to investigate the frequency of overlapping symptoms between BP and SCH.The sample included 159 patients diagnosed with SCH and 61 with BP who were followed over a two year period. The research was conducted at the UCCS Psychiatric Clinic. Assessment of clinical symptoms and diagnosis were performed using a structured clinical interview (SCID I), a list of operationalized criteria (OPSCRIT), a scale for the assessment of positive and negative symptoms (PANSS), a scale for the assessment of manic symptoms (YMRS).The overall PANSS score was significantly higher in patients with SCH compared to patients with BP, but on the general psychopatology there are no significant differences betwen SCH and BP. Symptoms of mania are significantly more pronounced in patients with BP compared to those with SCH.Our results of overlapping of individual symptoms between SCH and BP can speak infavor of the theory of disease continuum. And can also help us in understanding symptoms and guide us to develop optimal treatment strategies.No significant relationships."}
+{"text": "Due to the increasing costs of Medicaid and Medicare and concerns about how these two programs fail to work together to deliver quality care, there has been a growing enthusiasm for integrated care programs. The Financial Alignment Initiatives (FAI), implemented by the Centers for Medicare and Medicaid Services (CMS) in 2011 and tested in 13 states were designed to test the impacts of a program that offers Medicare and Medicaid services under one organization to individuals who are dually eligible for both programs. Previous studies of the expansion of managed long-term services have generated considerable interest over the last two decades however, research results have been mixed. There is also limited information about the implementation of these efforts, as demonstrations have served varying target populations with very different intervention strategies. The lack of conclusive results means that states, now faced with decisions about continued implementation of these initiatives do not have good information to make sound policy decisions. The national evaluation of the FAI states did not include Medicaid costs. Our study is designed to gain a better understanding of Ohio\u2019s FAI MyCare Demonstration. This symposium provides data from a comprehensive impact analysis that examined both Medicaid and Medicare claims data using a difference- in- differences treatment and comparison analysis and an in-depth process evaluation (using interviews with 487 participants) to gain an understanding of program effects. After reviewing results the symposium will discuss the future of these and other reform efforts to integrate Medicaid and Medicare services."}
+{"text": "Incarcerated peers play a critical role in the provision of care for incarcerated older adults. Peer counsel is part of the culture in carceral settings and official and unofficial caregiving is a necessity for visually, mobility, and cognitively impaired residents of these institutions. Due to their experiences of exploitation by the prison system and research institutions, most older incarcerated people are reluctant to trust community partners or correctional staff members who conduct research in correctional settings. Many older residents who are offered participation in research do not believe any real systemic changes will occur with the publication of findings. This presentation will draw on autoethnographic experiences of a peer health worker in the palliative care setting. We will describe the role that peer health workers play in guiding patients in decision-making around research and interrogate a model of partnering with peer health workers to engage incarcerated older adults in research."}
+{"text": "Voluntary dropouts before completion of inpatient psychiatric treatment are common in patients with dual disorders. However, the socioeconomic profile and family structure of patients who undergo a therapeutic program may correlate with their motivation and participation in the treatment received, as well as with their subsequent recovery.To evaluate the family typology of patients with dual diagnosis according to the degree of intrafamily cohesion and adaptability correlated with the prediction of therapeutic success and the risk of voluntary abandonment of hospital detoxification treatment.A total of 211 patients admitted to an inpatient psychiatric unit with substance use disorders were studied. Data were obtained from two sources: (1) interview of participants, (2) review of participants\u2019 medical records using the Maudsley Addiction Profile (MAP) and the Family Cohesion and Adaptability Assessment Scale (FACES III).The 127 subjects who completed the hospital detoxification program had significantly lower MAP and FACES III scores at baseline than the 84 subjects who did not complete the study. Those who did not complete the admission reported greater addictive severity and poorer family functioning. Family cohesion and adaptability measured with FACES III and addictive severity assessed with MAP positively correlated with successful compliance with the hospital treatment program for dual diagnosis patients.These findings reveal the association of psychosocial and family determinants and addictive severity with treatment completion and subsequent prognostic evolution. Recognizing these predictive characteristics may allow early identification of patients at higher risk of early dropout and prevent it by increasing the intensity of treatment."}
+{"text": "The retraction has been agreed because none of the listed authors \u2010 Mohsen Shoja, Ali Jafarpour and Shahin Aghamiri \u2010 fulfil the journal's criteria for authorship for the research published in the article. The article was submitted for publication by Mohsen Shoja without the consent of the legitimate authors or attribution to the legitimate authors.The above article, published online on 19 August 2019 in Wiley Online Library ( The retraction has been agreed because none of the listed authors \u2010 Mohsen Shoja, Ali Jafarpour and Shahin Aghamiri \u2010 fulfil the journal's criteria for authorship for the research published in the article. The article was submitted for publication by Mohsen Shoja without the consent of the legitimate authors or attribution to the legitimate authors.The above article, published online on 19 August 2019 in Wiley Online Library ("}
+{"text": "The authors regret that there was an error in the author list in the original article. Thomas Shean Yaw Choong should have been listed as a corresponding author. The amended author list and contact details are shown above.The Royal Society of Chemistry apologises for these errors and any consequent inconvenience to authors and readers."}
+{"text": "This paper describes the creation of a comprehensive, linked Australian population spine including name and address history. This spine was developed using four national datasets and linked to multiple State and Territory datasets. This enabled the creation of linkage maps which could then be used to produce de-identified linked datasets.Initially the spine was created using identifiers from Medicare Consumer Directory (MCD), Social Services data (DOMINO) and National Death Index (NDI). The COVID-19 vaccination program covering almost the entire Australian population provided the opportunity to add the Australian Immunisation Registry (AIR).Probabilistic linkage was used to link MCD and DOMINO with linkage rates of 97.3%. MCD and NDI data were also linked probabilistically. Most AIR identifiers shared IDs with MCD and were linked deterministically with the remainder linked probabilistically.Based on the linkage results, unique identifiers were created for everyone appearing in at least one of the four datasets. Only unlinked records with very incomplete information in NDI and AIR were excluded. All unique combinations of names and addresses for each individual were added to the combined spine. This allowed us to cover the data gaps of each dataset and create a comprehensive history not possible when using a single data source.Linkage maps were created between all contributing data sources. State and Territory datasets were also linked to the spine using probabilistic linkage. These linkages were then reused for multiple projects.Linkage to the combined spine increased linkage efficiency as well as increased linkage accuracy and a reduction in the transfer of personal information to provide a better service to the Australian research community."}
+{"text": "Today the maternal death of black women is four times than the maternal death of white women. A lot has been written about the physical health of black women during pregnancy and childbirth however the perinatal mental health of this group of women is less well researched. I wanted to investigate if black and ethnic minority women in the UK had the same access to perinatal mental health services.To explore how the access to perinatal mental health services vary between white British and non-white British women.A literature review was conducted. Papers were selected based on their focus on perinatal mental health service access and differences in access based on ethnicities. Most research focused on the perinatal mental health service access of white British and non-white British groups of women.The literature review revealed that black African, Asian and minority white women had significantly lower access to community perinatal mental health services when compared to white British women. It was also found that that black African, Asian and minority White women had a higher percentage of involuntary admissions to psychiatric hospitals when compared to white British women.The literature would suggest that there is less access to perinatal mental health for non-white British women. This suggested that the disparities that exist within perinatal physical health extend into perinatal maternal health.No significant relationships."}
+{"text": "The case for perinatal psychiatry as a subspecialty is strong. In the context of perinatal mental illness consideration has to be given to; differences in presentation, the need to account for mother and baby and the risks associated with inadequate treatment. Specialist services improve outcomes, reduce risks and save money. Despite the government's agenda of preventative healthcare, service provision has been inequitable across the UK. Here we detail the journey towards the development of new Community Perinatal Mental Health Services in Northern Ireland (NI).In NI the first embers of a perinatal service were ignited by Dr Janine Lynch approximately 15 years ago when she established a small community perinatal team in Belfast Health and Social Care Trust (BHSCT). Her commitment and foresight regarding training inspired others, resulting in high levels of interest among trainees. From this grew a dedicated group of consultants committed to supporting service development across NI.A multidisciplinary regional perinatal mental health forum was formed leading the development of a Northern Ireland Care Pathway in 2012. In partnership with women with lived experience, this forum led the bid for perinatal service development across the province.Following years of campaigning the need for services was recognised in both the Bamford Review (2012) and RQIA Perinatal Review (2017). A commitment for funding for specialist teams, across all five health and social care trusts, was outlined in the Mental Health Action Plan in May 2020. Funding was finally approved in January 2021.Significant work has gone into training to ensure there is a workforce ready to deliver services with focus on upskilling all professionals who deliver care to mums during the perinatal period. A competency framework has been developed to compliment this.It is important to recognise the support and commitment of many members of the college Perinatal Faculty throughout this journey.Community perinatal mental health services are at an exciting juncture in NI. Each of the trusts have made a commitment to the development of services under the co-ordination of the Public Health Agency. Several have progressed to recruitment of key staff with the aspiration for services to go live before the end of the year. There will be an overarching, integrated approach, co-ordinated by the new Regional Perinatal Network.As newly recruited consultants we look forward to working in partnership to address this long-standing health inequality and improve the outcome for women and their babies in NI."}
+{"text": "Although the primary goal of self-directed programs providing long term services and supports (LTSS) is to maximize choice and control for service recipients, such programs may also benefit family caregivers by compensating them for providing supportive services. This study draws on qualitative data from research supporting the RAISE Family Caregiver Advisory Council, finding that family caregivers themselves see the expansion of self-directed programs as a policy priority due to their need for financial security. The request for compensation was the strongest finding, with respondents highlighting the incompatibility of work with caregiving and their inability to rely on the existing paid workforce due to supply and quality issues; the consequences of this loss of earned income were reported as severe. Ultimately, respondents saw payment for providing care as an issue of fairness. This evidence supports the policy case for expanding access to self-directed programs that permit the employment of family caregivers."}
+{"text": "Stark geographic variation in later-life health outcomes suggests that local built and social environments are critical in shaping disease and disability, physical and cognitive function, and engagement in everyday life among older adults. This paper presents a community-engaged mapping project aiming to depict the uneven distribution of hazards and amenities relevant to cognitive aging across the United States. Living in neighborhoods with opportunities for social interaction , intellectual stimulation and physical activity may slow rates of cognitive decline and reduce risk for Alzheimer\u2019s disease. We assembled a community advisory board to translate research findings into a pilot website and interactive map that assesses neighborhoods for cognitive aging resources and amenities. The objective is to increase public awareness and inform public health and policy efforts to ameliorate community barriers and create more equitable opportunities to promote healthy aging in place."}
+{"text": "Young people who are care experienced are overrepresented in the criminal justice system and in general have worse outcomes in education than their non-looked after peers . Recent evidence has reported that children who have a social worker (classified as child in need or those with a child protection plan), but who do not enter the care system, can have worse outcomes in education than those children who are looked after . There remains little research evidence about the extent to which children with a social worker become involved with criminal justice services or how the age, duration and nature of formal social care service involvement may impact on education and offending outcomes. Researchers have been challenged by the lack of a sufficiently sized quantitative data, that crossed social care, education and offending domains. In work funded by ADR-UK, the present research project uses the newly linked DfE-MoJ administrative dataset to explore how different forms of formal social care services involvement impacts on education and criminal justice outcomes. Multi-level models will explore the role of formal child social care services amongst other multi-systemic risk and protective factors for education and offending. The presentation of his work will include preliminary statistics and insights into the challenges and potential further use of the linked dataset for researchers."}
+{"text": "The harmful use of alcohol is an important risk factor for the health of the population around the world. The incidence of alcohol dependence in women is increasing and both its consumption pattern and its consequences have unique characteristics.To present a literature review focused on alcohol use disorder with a gender perspective.Literature review.- Women use to start using alcohol sooner than men and this seems to be a risk factor to become addicted. - Due to physiological and psychological factors women experience more negative health effects from excessive alcohol use than men and it occurs at lower levels of use. - Psychiatric comorbidity associated with alcohol abuse such as anxiety and depression is more common in women and this in turn worsens the alcohol use disorder. - Alcohol consumption increases the vulnerability of women on several levels, including an increased risk of physical abuse.Alcohol abuse among women deserves special attention and a specific intervention focused on the gender perspective.No significant relationships."}
+{"text": "Affective Disorders are on a clinical continuum in which temperaments and other coexisting or emerging mental conditions may cover the role of risk factors or determinants of specific dimensional aspects of Bipolar Disorder. Overall, it is important to better characterize the psychopathological conditions associated to the clinical picture of an affective disorder in order to perform more personalized and integrated approach for the assessment, diagnosis and treatment of individuals with dual disorder.No significant relationships."}
+{"text": "Disruptive medical events such as pneumonia and hip fracture occur more frequently among older adults with dementia than those without dementia. It is not well-understood whether these events increase the risk of mortality to a greater extent for people with dementia (PWD) compared to people without dementia (PWoD). Using data from the Health and Retirement Study linked to Medicare claims, we estimated the impact of hip fracture and pneumonia on risk of mortality among 700 PWD and 12,438 PWoD using a Cox proportional hazards model. PWD had a higher risk of mortality both in the case of hip fracture and pneumonia compared to PWoD who experienced those events. This study provides evidence that dementia may increase mortality after a disruptive medical event and suggests that the clinical course of dementia may not always be slow and gradual."}
+{"text": "Psychiatry is facing major challenges during times of a pandemic as illustrated by the current COVID-19 pandemic. The challenges involve its actual and perceived role within the medical system, in particular how psychiatric hospitals can maintain their core mission of attending to the mentally ill while at the same time providing relief to general medicine. Since psychiatric disorders are the top leading causes of global burden of disease, we need to strengthen mental health care in the wake of the massive onslaught of the pandemic. While nobody can deny the need to act decisively and swiftly and ramp up intensive care readiness, we believe that the immediate availability of psychiatric care is just as important. In order to provide the best possible treatment conditions for people suffering from mental illness but as well for those suffering from the immediate pandemic\u2019s consequences such as isolation, reduced social interaction etc. instant and comprehensive provision is inevitable.No significant relationships."}
+{"text": "The current social distancing directives have heightened the need for older adults to seek remote healthcare solutions. Telehealth robots could support home health by carrying out on-demand tasks for diagnosis and treatment at the user\u2019s home through remote teleoperation by the healthcare provider. Acceptability of such telehealth robots by older adults is critical to their successful deployment. The overall goal of this research was to investigate older adults\u2019 perceptions and attitudes towards a telehealth robot supporting health checkups at home. Specific objectives were to explore potential healthcare use cases for the robot; identify facilitators and barriers to its use; and elicit design requirements for use in healthcare contexts. We interviewed 5 men and 5 women (ages 66\u201373) after they viewed a series of videos demonstrating the potential uses of the telehealth robot. The older adults had positive first impressions towards the telehealth robot and were generally open to the idea of using it for telehealth tasks. They conveyed a high level of trust with the robot, especially if it were controlled by a healthcare provider, yet expressed concerns with privacy and security of health information that would need to be addressed in the design of security protocols. They described added value of the robot\u2019s healthcare support while suggesting potential improvements to the robot. This research provided insights into older adults\u2019 perceptions and attitudes towards a telehealth robot as well as identified potential healthcare use cases that would inform the design requirements for telehealth robots in different home healthcare contexts."}
+{"text": "There is a significant global lack of policy action on consumption of sustainable diets. Application of political science theories such as theories of the policy process can help in understanding policy inaction. Applying these theories could provide a more in-depth understanding of how various influences on the policy process shape decision making for consumption of sustainable diet policy.A systematic review to examine application of eight key political science theories of the policy process to research on consumption of sustainable diets was conducted.The review identified no papers applying a theory of the policy process although 17 papers did mention or discuss influences on the policy process that are common elements within theories of the policy process. Most notably these elements were the influence of coalitions/networks, evidence use, narratives and framing, institutional and political system factors, and the importance of value and belief systems and socio-cultural norms. However, in most papers these influences were not examined in a detailed or in-depth way and often presented as suggestions for lack of policy action without the support of empirical data or application of any theory.Most research discussing policy inaction on the consumption of sustainable diets fails to utilise political science theories of the policy process, although a small number of papers include mention of or discussion of influences on the policy process. Application of political science theories could provide a more in-depth understanding of how different determinants might shape decision making at various points in the policy process. This could help identify key reasons for policy inaction on the consumption of sustainable diets and suggest possible ways to increase attention and action on the issue from policy decision makers.The online version contains supplementary material available at 10.1186/s12889-022-13717-5. A systematic review of the environmental and health impacts of dietary change in high-income countries concludes there are clear environmental benefits to modifying current dietary practices towards more sustainable choices, and that environmental benefits are largely proportional to the extent by which meat and dairy consumption can be reduced . HoweverA number of possible reasons for this policy resistance have been put forward, with studies citing the complexities related to contemporary food production and consumption as being the major challenge for policy makers in taking action . The difAlongside these suggestions there have also been some recent attempts in the literature to examine the processes occurring around the creation and implementation of policies in support of consumption of sustainable diets. These studies have largely focused on describing the competing interests involved in the governance of sustainable diets such as between government, civil society, consumers, and private sector stakeholders , 14\u201319. how these determinants might shape decision making at various points in the policy process. For example the powerful influence of food and agricultural industry lobbying on policy makers has often been cited as a key reason for a lack of policy action, and the production and use of evidence highlighted as a significant factor in shaping policy decisions. Yet there is no research which examines critical questions such as how and on whom do policy actors exert influence in the policy process? And, how do policy actors form successful coalitions to influence policy decisions, and how are policies on consumption of sustainable diets informed by evidence?While studies which elucidate potential policy determinants have a role to play in contributing to knowledge about why there has been so little policy action on consumption of sustainable diets, they do not provide any in-depth understanding of The questions outlined above are not isolated to the area of sustainable diets and indeed in areas such as public health and environmental policy there has been increasing attention on the need to utilise theories from other disciplines, particularly political science, to help conceptualise and make sense of the many interactions and variables involved in complex policy areas \u201331. As BDistinct from the \u201cwhat have we done\u201d and \u201cwhat should we do\u201d questions of policy evaluation and analysis, policy process research asks questions about the why and how of policy making. For example policy process scholars seek to find out why certain policy issues capture the attention of governments, how coalitions or groups influence policy making, and how different institutional arrangements and history shape policy. As Breton and de Leeuw identifyMeet the criteria of a theory .Is indicative of an active research program via recent theoretical development and empirical applications.Has a relatively broad scope that seeks to explain a substantial portion of the policy processDe Leeuw et al. describeFor the purpose of this review \u2018Theories of the policy process\u2019 will refer to the eight key theories identified by Sabatier as meeting the minimal set of conditions. These will be the theories that are used to guide the systematic review and analyse the current gaps and limitations of current research into consumption of sustainable diets policy.Given the large body of literature espousing the need for policies to increase consumption of sustainable diets for both health and environmental reasons, there is a clear need to understand why there has been such a significant lack of policy action on this issue at a global scale. Increasing sustainable diet scholars\u2019 knowledge of how policy works could help make their work more relevant and targeted towards addressing policy barriers which could assist with uptake of sustainable diet policies. One way this knowledge could be increased is through the use of theories of the policy process that examine reasons for policy inaction. This study thus aimed to systematically review the literature on consumption of sustainable diets to determine if any research uses policy process theories from political science to explain the lack of policy action and if so what are these explanations?The systematic review was undertaken to broadly align with the guidelines laid out in the PRISMA statement . These gThis systematic review examines the literature on consumption of sustainable diets to ask the question: Do sustainable diet consumption studies draw on or apply any political science theories of the policy process to help explain policy inaction? A systematic electronic search was conducted in June 2021 to identify relevant publications from the following databases: CINAHL, ScienceDirect, Scopus, Web of Science, ProQuest, PubMed, PLoS and JSTOR. The reference lists for included papers were also searched for relevant studies. Search terms for all databases included the following: (climate change OR greenhouse gas OR sustain*) AND (food OR diet* OR nutrition* OR meat) AND (policy OR policies OR govern*). These search terms were chosen to help include papers that linked diets to sustainability and included some mention of policy. The searched fields were keyword, title and abstract where available. Searches were limited to English language studies published until July 2021.Titles (and then abstracts where available) were screened for relevance to consumption of sustainable diets policy. Citations were categorized into two groups: i) possibly relevant studies; and ii) excluded studies. The full text of all candidate studies was obtained, using a low threshold for inclusion if there was any doubt. These publications were then screened against the inclusion criteria (see Table\u00a0N\u2009=\u20090).Applies a theory of the policy process to analyse sustainable diet consumption policy to help explain policy inaction (N\u2009=\u200917).Includes mention of or discussion of influences on the policy process consistent with elements from theories of the policy process to help explain policy inaction but does not directly apply a theory of the policy process . One theA number of papers made mention of dominant economic or neoliberal political ideology acting as a barrier to policies to encourage consumption of sustainable diets. This often has interactions with other influences on the policy process. For example in their examination of how livestock industry practices influence sustainable diet policy in the US Rose et al. discusseThere is a large literature demonstrating the gap between production of evidence and a policy making response , 56, 57 Theories of the policy process recognise the importance of the public mood, and the values and beliefs of stakeholders in the way the policy process operates. Almost all theories of the policy process include these elements with some such as the Social Construction Framework and Narrative Policy Framework more specifically focusing on these influences. A number of papers in this review commented on the way meat consumption is associated with socio-cultural norms and beliefs. Beverland argued tThis systematic review found no papers that applied a key political science theory of the policy process to help explain policy inaction on consumption of sustainable diet policy. However, a small number of papers did discuss or mention some influences on the policy process that are regularly included as elements within theories of the policy process. Most commonly mentioned was the influence of coalitions or networks on the way sustainable diet consumption policy is being made, with a focus on power imbalances between stakeholders\u2019 ability to influence policy. The power of the food industry and/or farming lobby groups in exerting political influence was mentioned in a number of papers argue, recognising that policy makers have a tendency to base judgements on their well-established value and belief systems and make decision making shortcuts based on emotions and familiarity with information is a key understanding required for stakeholders advocating policy change. Without a focus on the way policy makers understand and react to problems those seeking to create policy change will find it much harder to exert any influence, and instead find themselves only responding to sudden demands from policy makers for evidence-based solutions to pre-defined problems . Greaterhow they can best influence future policy making and the best strategies for different political and socio-cultural contexts. Given the ample evidence on the need for a global shift to public consumption of more sustainable diets to help mitigate climate change and other environmental impacts, future research that applies political science theories of the policy process to help understand policy inaction is urgently needed.Given that food consumption is a complex and interconnected policy area that encompasses a vast literature including food security and production issues, a limitation of this review is that it may have missed studies which have used policy theories to examine other food sustainability policy issues. Never the less this review highlights that in the area of consumption of sustainable diets there is the need for greater use of political science theories of the policy process to help analyse the lack of meaningful policy action from governments across the world. This could provide greater clarity on how policy decision making is being made in this area, where there may be increased opportunities for policy advocacy efforts and to identify where barriers to policy adoption lie. Without application of such theories studies may be more limited in their ability to explain a lack of policy action and elucidate which policy options would be most likely to gain the attention of decision makers. Further, a greater understanding of how the policy process is operating for consumption of sustainable diet policy could help inform policy actors on This review examined the application of theories of the policy process to research on consumption of sustainable diets to help explain policy inaction. No papers were found that directly applied a theory of the policy process although a small number of papers were identified that did include some discussion of key influences on policy making that are commonly included elements within theories of the policy process. However, these were often only examined in a rudimentary way and most papers lacked empirical evidence to support suggestions for policy inaction. A lack of application of theories of the policy process means studies are more limited in their ability to explain the absence of policy action or to recommend strategies and leverage points which would help achieve future policy change. Given the urgent need to shift consumers towards more sustainable diets to help mitigate climate change and other environmental impacts we recommend more research utilising theories of the policy process to help explain this lack of policy action and provide greater insight into how to achieve increased attention and policy implementation by decision makers.Additional file 1: Appendix A. Summary of key themes of policy influence extracted from the data."}
+{"text": "The context of infodemic and necessity of preventive behavior demands for studies of the role of news in compliance including health priming . Especially important is a topic the effect of news about traditional and alternative medicine their impact on subjective compliance.The aim was to study the relationship to medicine and subjective compliance in people with hypochondriac beliefs after priming by negative news about traditional and alternative medicine.122 healthy adults were randomized to conditions ; then they read and appraised four news ; filled changes in emotions after reading , Cognitions About Body and Health Questionnaire , checklist of relationship to medicine and compliance.Moderation analysis indicates that in people with higher hypochondriac beliefs negative news about alternative medicine lead to lower readiness to use these methods but also to comply with any medical recommendations (p<.01). In people with higher hypochondriac beliefs negative news about traditional medicine decrease readiness to use it but not alternative medicine (p<.01).Negative news about formal medicine situationally decrease readiness to use it while negative news about alternative medicine situationally decrease any readiness for treatment. Research is supported by the Russian Foundation for Basic Research, project No. 20-013-00799."}
+{"text": "The citizen\u2019 awareness about environmental health risks has been identified as an important determinant of citizens\u2019 choices for the adoption of pro-environmental behaviors, but for its study simple measures to be applied in population studies are still lacking. The Environmental Health Literacy (EHL), is a recent sub-cathegory of health literacy, including functional, critical and interactive dimensions, that can be applied in surveys on environmental health risk perception and behaviors. The aim of our study was to elaborate and validate an EHL Index (ELHI) using data from a large multicenter survey carried out among 4778 students of different disciplines in 15 Italian Universities, with a self-administered anonymous questionnaire investigating risk perceptions, attitudes and behaviors towards environmental health risks and including a simple Functional Health Literacy test (FHL). From the original questionnaire of 56 items three sets of questions were selected to represent the three dimensions of health literacy and their outcomes were compared with the answers about FHL test and pro-environmental behaviors. The Principal Component Analysis was used to select the most representative questions that were then grouped in the EHLI. The index was significantly associated with both FHL test and behaviors questions. The ROC curve indicated a satisfying accuracy and was used to identify the best cut-off for ELHI. In conclusion the constructed ELHI can be considered reliable and useful for further population surveys in similar target people to plan communication interventions about environmental health risks and their prevention through individual choices.An Environmental Health Literacy Index is proposed as simple measure to be used in population surveys.This measure resulted associated with behaviors and can be considered accurate and reliable."}
+{"text": "Two rapid communications in this issue report on attempts to gauge the extent of the recently reported increase in acute hepatitis cases among children in several countries in Europe and on other continents. They show that at the start of a possible outbreak with a yet unknown aetiology but features suggestive of an infectious cause, it is challenging to establish a sound evidence-base and to measure increase against a baseline of a syndrome or disease which is not under systematic surveillance and governed by standard case definitions. The short communications by van Beek et al. and de KVan Beek et al. set out to establish the incidence for acute hepatitis of unknown aetiology in children over the previous 5 years (2017\u250021) as comparison baseline to assess the increase and included data from the United Kingdom (UK). They further investigate geographical distribution of cases up to 26 April 2022. This year, of 24 countries with experts responding, five of 17 identified an increase in probable cases of unexplained acute hepatitis in European countries and in one of seven non-European countries. An increase in severe cases was noted in five European countries.De Kleine et al. establish estimates of paediatric acute liver failure (pALF) registered by specialised liver centres within the European Reference Network on Hepatological Diseases over 3 previous years (2019\u250021) that fulfil the definition of the Paediatric Acute Liver Failure Study Group [The results from these surveys show that the condition remains rare also in 2022. They do not provide a uniform picture but indicate that while in some countries or centres there are signals for an increase in cases, this is not evident in others. As examples of the former, Marsh et al. described the clear signal seen in Scotland and the initial investigation and clinical details of the first Scottish cases on 14 April .Despite acknowledged limitations, the two Rapid communications in this issue provide some useful information in the form of \u2018best available evidence\u2019 at this moment in time. International collaboration is needed to support robust and timely epidemiological and clinical investigations to establish if there is an excess of cases of severe hepatitis of unknown origin that demands targeted studies to determine the aetiological agent. Over the coming weeks we hope to see more data and results from ongoing investigations that should help to fill the present gaps."}
+{"text": "In the published article, there was an error in the Funding statement. This work was not supported by the Humanities and Social Sciences youth project of Liaoning Provincial Department of Education (WQ2020012). The correct Funding statement appears below."}
+{"text": "The relationship between behavioral changes and the menstrual cycle in women at a reproductive age has been investigated in several studies; women during every menstrual cycle experience noticeable changes in levels of sex hormones which are consequently reflected on their mood and behavior. The relationship between the menstrual cycle and the emotion recognition processing has been also studied.The aim of this study was to examine if differences exist between women with Premenstrual Dysphonic Disorder (PMDD) and women without PMDD in Emotion recognition processing across menstrual cycle.We examined 26 women with a PMDD and 30 women without PMDD, who have both visited the Mental Health Centre . Women were clinically interviewed (DSM-V); also the Emotion Recognition Task (ERT) was administered in the luteal and the follicular phase.Women with PMDD showed significant differences in emotion recognition depending on the the luteal and the follicular phase (according to estradiol and progesterone level) whereas women without PMDD did not present significantly different responses to the emotional stimuli.Our findings suggest that there is an effect of PMDD on emotional facial recognition across the two phases of the menstrual cycle. Thus, the importance of incorporating ERT in the formal clinical examination of PMDD is highlighted.No significant relationships."}
+{"text": "Family care partners face increased and more complex caregiving demands at the time of hospital discharge for persons living with dementia. This study examined family care partners\u2019 needs for preparation and factors associated with the degree of preparation for caregiving. Care partners who were younger , demonstrated anxiety and depression , and were caring for a person in pain had lower scores on the Preparation for Caregiving Scale. Care partners described the least preparation to care for the patients\u2019 emotional needs and deal with the stress of caregiving . Content analysis of nurses\u2019 transitional care notes converged with these findings, while also describing a lack of preparation to advocate for information from medical providers. Findings suggest the need to attend to the psychological and informational needs of care partners, while considering patient well-being and comfort."}
+{"text": "A feeling of restrictiveness is often associated with coercive practices, such as seclusion or restraint. In addition to these obvious procedures more subtle practices can also feel restrictive. Its registration and monitoring is of special importance in forensic mental health care since feelings of restrictiveness can lead to adverse events like increased aggression and suicidal intentions.To enable the registration of the experience of restrictiveness in forensic mental health settings in Germany, the Forensic Restrictiveness Questionnaire was translated from English into German.Method: We used the TRAPD approach presented by Harkness (2003). This approach combined the expertise of professional translators and clinical experts and enabled adaptation at an early stage. The developed version underwent a cognitive pretest with a small patient sample to check for comprehensibility and interpretation of the questions in line with the original authors intention.A preliminary translation of the FRQ was developed. Translators combined their expertise from linguistic and clinical practice as well as their knowledge about English and German culture to produce a translation as close as possible to the original questionnaire with necessary adaptations. Remaining uncertainties, e.g., regarding comprehensibility of long phrases or uniform interpretation of certain wordings or questions, were addressed in the cognitive pretest with patients. The version produced can be used for validation.Conclusion: The TRAPD approach produced a comprehensible and well adapted German translation of the FRQ. This version underwent a cognitive pretest by a small patient sample and is now ready for validation.No significant relationships."}
+{"text": "Physical inactivity accounts for as many as 5 million deaths per year globally but has yet to be addressed effectively by most governments or the World Health Organization (WHO).Reasonable evidence for effective strategies exist, and several countries have implemented consistent public health policies and programs that have increased population prevalence of regular physical activity. In 2018 WHO launched a Global Action Plan for Physical Activity (GAPPA). However, most countries do not have effective public health policies in place for physical activity. Evaluating the history of national and global policies to understand how some countries have developed sound public health programs for physical activity while most have not requires monitoring and evaluating policy, programmatic, and perhaps even research indicators for physical activity. Only recently have there been systematic efforts to do so.Several key questions about physical activity policy, starting with an examination of the evolution of public health physical activity policy and policy research from when it was first explicitly identified in the 1990s to the present will be addressed. Key recommendations, global statements, research reviews and action plans will be summarized to provide a clear picture of the evolution of this important aspect of public health. Evidence on the implementation of policy at national and global levels will also be reviewed. We will examine whether it feasible to track physical activity policy at the global and country levels, if the existence of ?good? physical activity policy is associated with less physical inactivity, how policy indicators may be used for advocacy and guidance.Physical activity policy for public health is a relatively new concept that has evolved significantly in the last three decades with formal national and global policy statements, research, and evaluation efforts all increasing markedly since 1990.Despite notable growth in policy research and the development of sophisticated national and global policies and action plans, implementation of effective national and global policies and programs for physical activity remains limited."}
+{"text": "The traditional \u2018one size fits all\u2019 model within secondary care mental health (MH) settings of regular appointments scheduled by a clinician at defined intervals isn't always responsive to an individual's changing needs. Previous reviews have shown significant levels of patient and clinician satisfaction with Patient initiated models of review in a variety of healthcare settings but its use within secondary care MH settings has been relatively limited. We describe the development and implementation of a Patient initiated follow-up (PIFU) pathway within MH services in NHS Greater Glasgow and Clyde (GG&C).The pathway was developed by a small working group of clinicians with input from local management and eHealth colleagues with an emphasis on the principles of Realistic Medicine. There was input from peer support workers and the Mental Health network, a local service user organisation, into the development of the pathway. The pathway underwent a \u2018test of implementation\u2019 within three adult CMHT's with support from the development group. Feedback from the test sites was used to modify the pathway and ultimately support the wider rollout of the model across all seventeen CMHTs within NHS GG&C over the course of 2021. Formal evaluation of the pathway, including patient and clinician satisfaction, service utilisation as well as safety measures, is due to be undertaken at 12 months after full implementation.The tests of implementation identified a range of factors that needed to be considered as part of the introduction of a PIFU model into MH settings.Patient choice and shared decision making along with other clinical factors such as level of insight, availability of other supports, shared risk assessments and current clinical need were identified as relevant patient related factors. Clinician related factors included concerns about applicability within MH settings, perception of risk, increase in workload and appropriate identification of suitable patients. Regular meetings between the clinicians in the test sites and members of the development group as part of the implementation process helped address clinicians concerns and ultimately supported uptake of the model.Our experience highlighted the potential for a personalised approach to care planning in empowering patients have a more active role in the way they access services as part of their recovery journey. It also highlighted patient and clinician related factors that need to be considered for a successful adoption of the model."}
+{"text": "This clinical guideline is intended for use by orthopedic surgeons andphysicians who care for patients with possible or documented septicarthritis of a native joint (SANJO). It includes evidence and opinion-basedrecommendations for the diagnosis and management of patients with SANJO."}
+{"text": "This presentation provides an overview of factors that can cause symptom exaggeration and/or fabrication in chronic pain. It will explore how symptom and performance validity tests can be applied to chronic pain in the context of a malingering framework and the problems of implementing this in the UK through a case example.No significant relationships."}
+{"text": "A quality improvement project was undertaken to counteract obesity in patients with mental health morbidity. The exponential trend of increased antidepressant prescribing has created a trend towards weight gain in patients. An audit of the Serious Mental Illness (SMI) register and depression registers was conducted in a population of 591 patients. Those patients identified as obese were offered referral to the local authority weight management services.Patients have a body weight and BMI calculation with their twice yearly mental health and medication review and those whose BMI met the obesity criteria were offered referral to the local authority for 12 weeks weight management services.Of the SMI and depression register 189 (32%) patients met the criteria for referral to the weight management program. Of these 154 (81%) patients accepted the local NHS weight management program, 35 (18%) of patients declined the NHS weight management program.Weight gain is a known side effect of antidepressant medication SSRI and SNRIs and Anti psychotic medication resulting in increased risk of obesity and cardiovascular and metabolic disease. The QI program was undertaken to counteract these changes with referral to weight management services to address the weight gain the patients were experiencing.This quality improvement service was done to help patients across three surgeries lose weight in an effective and educational manner. We found a high rate of acceptability of referral to weight management services when offered as patients themselves were aware of the weight gain. A review of positive changes in the BMI after referral to the weight management program will be undertaken at 6 and 12 months to evaluate its acceptability and effectiveness. We advocate sensitive counselling of the risks of weight gain and regular monitoring of body weight throughout the span of the prescribing of these weight gaining agents."}
+{"text": "Teaching Point: Infected urachal cysts are a rare cause of abdominal complaints and can be accurately diagnosed by abdominal ultrasound and computed tomography (CT). An abdominal ultrasound revealed a thick-walled heterogeneous cystic mass surrounded by fat stranding anteriorly in the midline on top of the bladder. The bladder dome was thickened, and the lesion was focally invading the left rectus abdominis muscle . The primary imaging modality for urachal cysts is ultrasound revealing a cystic mass in the midline anteriorly between the bladder dome and umbilicus. CT or MRI may be subsequently employed to help reach a definite diagnosis. Infection represents the most common complication of urachal anomalies and may present with nonspecific symptoms. Imaging findings that should prompt consideration of infection in the setting of an acute clinical presentation include the presence of a urachal remnant with complex echogenicity at ultrasound and heterogeneous attenuation of the content and contrast enhancement of the thick wall on CT. As in this case, it can be challenging to distinguish an infected urachal remnant from a malignant urachal neoplasm. Treatment consists of antibiotic therapy followed by complete excision to mitigate the 30% risk of infection recurrence and potential malignant degeneration ["}
+{"text": "The impact of racism on health and the quality of health care services for racialized patients have been the object of prior research. The experiences of racialized medical students and physicians, who operate in a field of tension between natural sciences and practical application and between a \u2018medical habitus\u2019 and exclusionary discrimination, have hardly been examined to date. The education of (future) physicians is an especially fruitful research area in the context of the study of institutional racism in the health care system, as informal everyday experiences come together with formal knowledge and normative learning.Based on expert consultations and preliminary interviews with civic stakeholders, teaching and learning materials in German medical studies were randomly sampled and used as a starting point for qualitative guided interviews with physicians and medical students in Germany who are themselves affected by racism. The first steps of the thematic analysis of these interviews are reflected upon and further developed in focus group discussions with the interviewees.The study is particularly concerned with the question of how certain dimensions of racism in the health care sector are related, and how racist normativity appears in this context. This is concretized in the relationship between formal and informal medical curricula as well as in the interweaving of everyday experiences and teaching materials.There are different dimensions of relation between a hegemonic normativity in the medical curriculum and the everyday experiences of racialized medical students and physicians in Germany. Politics, faculties, publishers, and civic society may be the target of several recommendations for action regarding those diverse dimensions, e.g. the line between omission and stereotyping of several patient groups.\u2022\u2002Hegemonic normativity in German medical education is an important and challenging issue. There are several institutional levels of medical knowledge reproducing racism in the health care sector.\u2022\u2002Both racialized physicians and racialized patients are affected by symbolic and material forms of racism in the German health care system, which are interweaving and crucial on diverse levels."}
+{"text": "The Global Council on Brain Health (GCBH) convened experts from around the world to examine the impact of cardiovascular risk factors on brain health. GCBH issue experts carefully considered how high blood pressure, diabetes and stroke, as well as lifestyle choices such as diet and exercise, influence brain health in adults age 50 and over. The GCBH concluded that the best evidence to date shows us \u201cwhat\u2019s good for the heart is good for the brain.\u201d Their consensus puts powerful tools in the hands of adults wanting to protect their brain as they age. The GCBH adopted 10 recommendations for individuals to incorporate into their lives to keep heart and blood vessels healthy and reduce the risk for cognitive decline and dementia. These recommendations and 16 practical tips are provided in the final report. Liaisons from numerous civic and nonprofit organizations with expertise in heart and brain health helped develop these recommendations for adults 50+ and their health care providers."}
+{"text": "Building upon the Scottish Safe Haven Network\u2019s (SSHN) collaborative experience to develop an exemplar dataset on Scottish national level laboratory tests within the SSHN. To test the feasibility of a federated safe haven network in Scotland for clinical laboratory data using existing federation solutions.Considerations were given to the clinical tests that are being commonly used across Scotland. An investigation of laboratory data structure was conducted using SQL with the assistance of White Rabbit which captures the metadata information from each safe haven. Data heterogeneity or commonalities were investigated in detail in R. We examined the inter-relationships among clinical laboratories from different regions of NHS Scotland. A common data structure was proposed to facilitate the sharing of clinical test results. We investigated multiple existing federation solutions to streamline access to data across the SSHN.A dataset of all laboratory tests for patients registered with the Scottish Health Research Register and Biobank (SHARE) from laboratory data sources within the network were developed. An open-source toolkit that includes SQL scripts to harmonise laboratory data from multiple safe haven and R scripts to conduct heterogeneity investigation to streamline the sharing and the analysis was created. We have shown a working model for federation within Scotland for the first time with the view to expand into more routine projects. The project has developed a systematic concept mapping of data available across the SSHN to aid cohort discovery.The exemplar national level laboratory data together with the toolkit will help provide researchers with information such as which data are available to access. It will also support and improve national-level research studies at a faster pace. The work has demonstrated the feasibility of a common process for federated data discovery and sharing across the SSHN."}
+{"text": "Establishing broad spectrum of new mental health services in whole Bosnia and Herzegovina (BH) existing mental health laws in both entities needed to be upgrade according positive results of the mental health reform in the country. Previous laws were exclusivelly oriented on protection of rights of the people with mental health disorders in (mainly) psychiatric institutions and were progressive and new in the period of their implementation (2001-2004).Since 2010 main reform processes had direction to community mental health care and developed positive movement with implementing new services oriented to patients and their needs/continuity of care. For example case management and occupational therapy are part of daily work in whole country and standards established trough accreditation process lead to uniform approach in community work in the area of mental health.Comparative analysis of laws in BH concerning mental health.Carefuly and good preparation for pronounce of new Mental Health Law both in Republic of Srpska and Federation of BH were supported from both entities and they are formaly supported in both entities parliaments in 2020 (prolonged since COVID-19 situation). In both laws is more emphasised role of commnity services, prevention, and post-hospital rehabilitation as continuity of care. Book of rules that follow the laws will be establish no longer than the end of 2020.New mental health laws in BH are path to better protection of mental health of all population in BH and rights of our patients\u2019 recovery."}
+{"text": "The youth and adult criminal justice systems in England and Wales disproportionately draw in individuals from ethnic minority backgrounds and those who have been in care as children . While evidence suggests that there is likely to be considerable overlap between these two groups , there was previously little in the way of quantitative data to explore this. The newly linked MoJ/DfE datasets have provided a unique opportunity to investigate the intersections between ethnicity, care experience and justice systems involvement for the first time. This paper will draw on findings from an ADR UK (Administrative Data Research UK) Fellowship utilising the newly linked datasets. It will outline to what extent ethnic minority care-experienced people are over-represented in justice systems. It will also explore the nature of this involvement including offence type, frequency, and disposals. The findings will be contextualised within the wider literature on racialisation and criminalisation in care to enable a broader understanding of the issues. The paper will outline the challenges of conducting interdisciplinary research using linked data from across government departments as well as the possibilities for future research."}
+{"text": "Comparatively little is known about the ability of physical activity to improve or maintain cognitive function in older adults. Our Midwest Roybal Center uses social/behavioral theory to promote engagement in physical activity in order to improve this outcome. In 2019, we received funding to establish a Multimodal Connectomics Core that enabled investigators to examine concurrent changes in cognitive function and brain connectivity by providing access to fMRI imaging. The Connectomics Core enabled investigators for the first time to examine cognitive function and changes in brain connectivity simultaneously by providing access to fMRI imaging as well as MRI data storage and data analysis. It enabled measuring of standardized participant outcomes selected from the NIH toolbox. This Symposium describes findings from the first three completed pilots and discusses their implications for the field. The first pilot by Bronas examined effect of a 6-month home-based walking program in people chronic kidney disease on cognitive function and intervention induced neuroplasticity compared to usual care. The second pilot by Marquez adapted the Fit & Strong! program to test the combined impact of physical activity and interactive health education for managing mood on cognitive function among older adults with depression. The third pilot by Bhatt examined the effectiveness of 4 weeks of exergaming combined explicit cognitive training on behavioral measures of fall-risk and their associations with brain integrity measures. The discussant will initiate discussion based on outcomes of these pilots and future directions for developing them into larger studies or clinical translation."}
+{"text": "The project aimed to test an alternative method to estimate the number of duplicate responses in the 2021 England and Wales Census. The method utilises information from all census records instead of relying on samples. It requires less clerical review than the original inverse sampling method used for overcount estimation.We used the Splink implementation of Fellegi-Sunter to match the 2021 Census to itself. The resulting linked dataset was filtered to retain only the top scoring record pair for each unique census record, giving a final dataset of around 71.5 million record pairs. These pairs were divided by score into 13 homogeneous buckets. Random samples of 1000 pairs per bucket were clerically reviewed to determine whether each pair was a true duplicate or not. The clerical results were used to assign an estimated probability of being a duplicate to each bucket and hence to every census record within the bucket.A dashboard was created which contained percentages of duplicates by region and \u2018overcount group\u2019 for the original and alternative methods. This enabled us to view the data side by side and create visualisations to aid analysis. The alternative method had higher average duplicate percentages in overcount groups for communal establishments and was also higher for 9 out of 10 regions in the armed forces overcount group. We found that both the original and alternative methods of overcount estimation followed the same pattern in terms of minimum and maximum duplicate percentages except for those in communal establishments where minimum and maximums were both higher than the original method. Additionally, the minimum was marginally higher for the student and armed forces overcount groups for the alternative method.On initial comparison, estimated rates of duplication resulting from the different methods are comparable. We plan to conduct further analysis on the similarities and differences of the two methods, and research whether the new method could be applied to estimate the duplication rate in other large datasets including administrative data."}
+{"text": "Digital home assistants hold great potential for supporting older adults in completing a wide range of daily living activities and improving their overall quality of life. As these devices can wirelessly connect with other smart technologies to increase their capabilities , digital assistance technologies may benefit older adults who need support within their home such as those living with mobility disabilities. However, research is needed to better understand the facilitators and barriers of using these technologies by these individuals, as well as the resources that best support their onboarding and continued use. To assess the potential efficacy of integrating smart and connected technologies into the homes of older adults with mobility disability, we are conducting a field trial to understand how best to introduce these devices and support their use. Design considerations and initial findings are discussed."}
+{"text": "Few studies have explored the Central Nervous System (CNS) infection illness trajectory among older persons with dementia in sub-Saharan African (SSA) settings. This study explored the Caregiver\u2019s perspectives on the Central Nervous System infection illness trajectory among the older persons with dementia in Northern Uganda.This was a qualitative study conducted in Lira District northern Uganda in March 2022 amongst purposively selected 20 caregivers of the older persons aged 50\u2009+\u2009years with a positive history of CNS infection and later life dementia. Data were collected using an in-depth interview guide. Audio recordings and field notes of the interviews were undertaken. The interviews generated data on the CNS infection illness trajectory from onset to the current demented state of the older persons. The audio-recorded interviews were transcribed verbatim before manual reflective thematic analysis.Older persons with a positive history of CNS infection illness and later life dementia in rural northern Uganda presented with symptoms of early life CNS infection illness ranging from neck pain, back pain, chronic headache, and fatigue. There were also manifestations of comorbidities particularly road traffic accidents involving traumatic injury to the head, neck, and spine, high blood pressure, chronic headache, and or their medications in the older person\u2019s trajectory to later life dementia. A plurality of healthcare which included both formal and informal healthcare medicines was sought and utilized for the treatment and care of the CNS infection illness and dementia by the older persons amidst improper diagnosis and mismanagement.Older persons with early-life CNS infections illness and later-life dementia were reported to present with symptoms including neck pain, back pain, chronic headache, high blood pressure, and fatigue. The reported symptoms of CNS infection illness may be intertwined with co-morbidities particularly traumatic injury involving the head, neck, and spine, high blood pressure, and chronic headache. Healthcare professionals should integrate routine screening of older persons for the history of CNS infections, chronic headache, high blood pressure, trauma to the head, neck, and spine, and dementia and early treatment. Dementia is a syndrome in which there is deterioration in cognitive function beyond what might be expected from the usual consequences of biological aging . More thCentral Nervous System (CNS) infections have for decades been epidemiologically and sometimes mechanistically associated with dementia among older persons globally \u201311. InfeThe CNS infection may be spread from blood-borne infections, infections at sites adjacent or contiguous to the CNS such as the mastoid, sinuses or middle ear or from primary infections at more remote anatomic sites such as lungs, and heart, skin, gastrointestinal tract, or the kidneys , 12. CliTowards a Dementia Plan \u2013 A WHO guide, guidelines on risk reduction of cognitive decline and dementia, mdementia handbook, WHO mental health gap action program (mhGAP) and Towards a dementia-inclusive society \u2013 WHO toolkit for dementia friendly initiatives have insufficiently addressed CNS infection\u2019s considerations in dementia risk reduction, prevention and care.In Uganda, there is an increasing population of older persons , 19 who Worse still, fewer previous studies investigated the CNS infection illness trajectory among older persons with probable or possible, dementia especially from sub-Saharan African (SSA) context. The few available previous studies in the SSA focused on the prevalence and risk factors for HIV-associated neurocognitive disorders including HIV-associated dementia , 21\u201323.An CNS infection illness trajectory is defined as the occurrence of factors, events, signs, and or symptoms with or without causative\u2014outcome roles in the past and present life history of the older persons with possible or probable dementia. Investigations into CNS infection illness trajectory among older persons with probable or possible dementia are critical in risk reduction and prevention of severe forms of dementia through early screening, and diagnosis of persons with signs and symptoms of CNS infection illness.Lira district located in northern Uganda has an increasing population of older persons . HoweverThis study therefore explored CNS infection illness symptoms among older persons aged\u2009\u2265\u200950\u00a0years in Lira District northern Uganda with positive history of CNS infection illness who screened positive for probable or possible dementia with the BCSD. Notably, the definition of older persons from a seemingly early age of 50\u00a0years was used in a sister quantitative study upon which this qualitative study was piggybacked meant for screening possible or probably dementia including early onset cases as early as 50\u00a0years.This qualitative inquiry was prompted by a preceding quantitative survey which found a significant association between possible or probable dementia and positive history of CNS infection illness among older persons aged 50\u2009+\u2009years in northern Uganda. We conducted a descriptive qualitative study . The desThe study was conducted among the key informants who were the caregivers of the older persons aged\u2009\u2265\u200950\u00a0years with probable or possible dementia [from the Brief Cognitive Score for Dementia scale (BCSD) screening] and a positive history of CNS infection illness. Caregivers are defined as the spouse or relative providing general home-based care for the older persons with dementia by providing support in form of house cleaning, cooking, bathing, washing, shopping, grooming, walking support and or accompaniment to the healthcare facilities among other activities of daily living. We used the maximum variation purposive sampling method to recruited 20 participants who lived the experience of being caregivers of the older persons with the phenomena under scrutiny (i.e. CNS infection illness symptoms trajectory among their relatives or partners with probable or possible dementia). This being a qualitative key informant study the variations considered during the purposive sampling of the key informants were the caregiver\u2019s age, sex, educational level, and relationship with the older person with possible or probable dementia under their care rather than the CNS infection illness characteristics among the older persons with dementia Table . Only onThis qualitative study was piggybacked on the quantitative household survey which investigated for the association between CNS infection illness and dementia among older persons in the study setting and helped to identify participants with both positive history of CNS infection illness using a CNS infection questionnaire and probable or possible dementia using a Brief Cognitive Score for Dementia scale. From the preceding quantitative survey analysis, a total 49 older persons met the criteria of having possible or probable dementia and positive history of CNS infection illness and it provided the sampling frame for the selection of key informants for the qualitative research. The preceding quantitative household survey of older persons in northern Uganda for prevalence of dementia and its association with CNS infection illness was conducted in March 2022. It involved a sample of 434 older persons aged 50\u2009+\u2009years in Lira district northern Uganda. The quantitative household survey found a high prevalence of possible or probable dementia (23%) among older persons aged 50\u2009+\u2009years in northern Uganda. It also found a significant association between possible or probable dementia and positive history of CNS infection illness among older persons aged 50\u2009+\u2009years in northern Uganda at both bivariate and multi-multivariate analysis. The quantitative survey paper is under peer review for journal publication.The selection of the study setting for this descriptive qualitative study was informed by a preceding quantitative household survey of older persons in the aforementioned 20 villages in Lira district northern Uganda for dementia among older persons and its association with CNS infection ilness. Older persons who were found to have a positive history of the CNS infection illness and dementia from the quantitative household survey were eligible for this qualitative study. The Community health extension workers (CHEWs) also known as Village Health Teams (VHTs) who enlisted the households with older persons aged\u2009\u2265\u200950\u00a0years for the quantitative household survey also helped to identify and locate the residential addresses of the older persons with positive history of the CNS infection illness and later life dementia.The VHTs are community health volunteers who maintain registers of all residents including older persons in their respective villages . The VHTWe conducted the face-to-face in-depth interview using an interview guide. The interview guide comprised of open-ended questions to elicit the participants account of the CNS infection illness trajectory among older persons with probable or possible dementia who were their care receivers. The interview guide was developed by the research team members informed by literature. The items in the guide were pre-tested among caregivers of the older persons who were not included in the study and improvements were made accordingly. The interview guide had three sections. The first section comprised of the socio-demographic characteristics of the study participants. The second section comprised of items for confirming the prior CNS infection illness diagnosis or the history of CNS infection illness, the characteristics and hence the types of the CNS infection illness and dementia among the older persons. The third and last section of the guide comprised of items on the CNS infection illness trajectory from onset to the current demented state of the older persons. The Research Assistants with nursing and midwifery educational background who were trained on the research protocol asked the questions in an open-ended format to elicit responses and conversations for each section of the interview guide. The interviews were conducted in the local language Luo. Interviews were conducted in private spaces within the participants\u2019 homes. The interviews lasted for 30 to 60\u00a0min. Interviews were audio recorded. Field notes were also taken by the Research Assistants on the body language and unique circumstances around the participant at the time of data collection.The audio recorded data were transcribed verbatim by the Data Clerk. The transcripts were verified against the source audio recordings by a research team member to clarify any unclear data before permitting the Data Clerk to conduct the next transcription. Verbatim transcripts in the local language (Luo) were translated to English language before analysis. Two research team members independently coded the data and discrepancies in codes were reconciled through consultation with other research team members. We conducted a manual reflexive thematic analysis of data as they manifest from the participants in accordance with the six steps described by Braun and Clarke . FindingThe four principles of credibility, dependability, confirmability, and transferability of qualitative research were upheld to assure and maintain rigor and trustworthiness in the study. Credibility was assured by restating and summarizing points during the interviews and also by taking field notes from the interviews in addition to the audio recording . DependaWe approached the 20 purposively selected caregivers of the older persons aged\u2009\u2265\u200950\u00a0years to provide informed consent and all of them consented and participated in the in-depth interviews. The response rate was therefore 100%.The socio-demographic characteristics of the 20 caregivers of the older persons aged\u2009\u2265\u200950\u00a0years with a positive history of CNS infection illness and later life dementia in Lira District northern Uganda who participated in the study is shown in Table Some symptoms of the CNS infection illnesses surfaced at an earlier time or age of the demented person\u2019s life. These early symptoms in terms of their earlier time of manifestation in the demented person\u2019s life are therefore put together under the theme of presenting early symptoms of the CNS infection illness although they varied considerably in terms of the actual time of manifestations in the demented person\u2019s life ranging from childhood, adolescence, youthful age, middle age though a few years or months ago.\u201cThe problem she had especially now that you have come to make a follow up, her main problem she used to complain of pain. This complain went on until a point that it become worse to the extent that she started forgetting a lot of things. Her major complaint was that the pain would start from the lower limbs, radiates to the waist region then to the back through her spinal cord\u201d We explored the initially presenting symptoms of CNS infection illness among the older persons prior to being screened positive for probable or possible dementia. Many of the key informants (who were caregivers) narrated that the older persons with probable or possible dementia were always complaining of pain around the neck and the back. From these, it slowly progressed to memory loss and inability to carry on with daily activity. The experiences of neck and back pain was typified by a response from one of the study participants described below.\u201cit all started one day as she was here on the compound winnowing sorghum when she realized her energy was getting low and she decided to go and take some rest, when I went inside to check on her after sometime I found she was struggling with breath, I tried calling her she could not respond to me I then ran to my elder brother who came and picked her and she was taken to the hospital. And another thing I know is she subjects herself into too much worry\u201d Some key informants reported that the older persons with probable or possible dementia also complained of fatigue. This would also interfere with their ability to carry on daily activities and raised the suspicion that something was not right with their health. Some key informants went on to say that the feeling fatigue increased stress levels among the older persons. They thought the fatigue was the part of the reason as to why their relative with probable or possible dementia suffered from memory loss. One of the participants had the below to say.My relative always complained of having too much headache and sudden feeling of being very tired, it was then at that point we took her to the hospital and she was confirmed to be having illness which was said had started to affect her brain\u201d \u201cSome key informants pointed out chronic headaches as one of the complaints that were always raised by the older persons who were screened positive for probable or possible dementia. Chronic headache typically is due to the inflammation of the immune system secondary to the CNS infection. This continuous headache without concise remedy could have led to development of the dementia among the older persons. This was described by one participant below.The study also investigated prior conditions amongst the older persons with a positive history of CNS infection and dementia. These prior disease conditions or illnesses that co-existed in the demented persons with positive history of CNS infection illnesses were defined under the theme of manifesting co-morbidities and or their medications. The findings are presented below.\u201cHer condition started after she had suffered an accident and hit her head on the ground. suffered two accidents in a row and after the accidents, hit her head on the ground, she started experiencing memory loss, back and body pain, victim of Goiter, shock, suffered a stroke. Half of her body was completely paralyzed for some time, and she kept suffering from the brain infection which made her forget a lot of things. Keeps getting malaria infections\u201d Some of the key informants revealed that the older persons have been victims of road traffic accidents that led to shock and paralysis for some time. And from the accident they started experiencing signs of forgetfulness and memory loss. Traumatic tissue injury from road traffic accidents are often entry point for some of the pathogenic microbes that infect the central nervous system as many of the participants also reported that from the time their relative were involved in two rows of the accidents they started suffering from episode of CNS infection illness. This was typified by one of participants below.\u201cWhat I can tell you according to my understanding about how this problem begun is she was taken to the hospital and was diagnosed with pressure and she was given medication to help control the condition, it was then when she started on medication when we realized she started having episodes of forgetfulness but this was not happening before she was put on medication. And so people started telling us it could be the side effects of the medication that she is taking to control pressure which is causing her to be acting that way\u201d Other key informants reported that their relatives (the older persons) started experiencing episodes of forgetfulness following treatment for high blood pressure. They related the forgetfulness to the side effects of the medications they gave their relatives (the older persons) as treatment for high blood pressure. The thiazide diuretic and a calcium channel blocker (nifedipine) the two widely available and commonly prescribed antihypertensive drugs in Ugandan public health facilities were implicated by the key informants. This was exemplified by one of the key informant\u2019s comment below.My relative always complained of having too much headache and sudden feeling of being very tired, it was then at that point we took her to the hospital and she was confirmed to be having illness which was said had started to affect her brain\u201d \u201cSome key informants also pointed out chronic headache as one of the complaints that were always raised by these older persons indicated for probable dementia. This could be due to the inflammatory response of the immune system to the CNS infection that triggered the headache. This continuous experiencing of headache with no concise remedy for the infection-related CNS illness could have led to development of signs dementia among the older persons aged\u2009\u2265\u200950\u00a0years. This is quoted by one participant.\u201cShe looks young though already aged than I am, my sister was once diagnosed with an underlying condition of high blood pressure, which I hope has made her weak and very vulnerable to CNS infections and forgetting things\u201d Many of the key informants reported of their relatives (the older persons) being ever diagnosed with high blood pressure in addition to the diagnosis of CNS infection and dementia. The participants believed having hypertension weakened their immune system and made them vulnerable to CNS infections and developed dementia. This was exemplified by a narrative from one of the study participants below.The study explored the diagnosis, treatment and care sought and given to the older persons when experiencing the signs and symptoms of illness before the diagnosis of CNS infections and the positive screening test for dementia. Therefore, this theme of seeking and receiving of series of treatment and care without thorough checkup for CNS illnesses consolidates all the missed diagnosis, unsuccessful treatment and care sought and received by the demented persons.When the pain first started she kept visiting the hospital time and again to get medical help, she was given drugs without any thorough checkup to find the origin of the illness\u201d \u201cMost of the key informants reported of ever taking the older persons for medical professional care at nearby health facilities. They further narrated that during the time no clear diagnosis was done on their patients (the older persons) as the health workers provided treatment for the prevailing signs and symptoms. The delay in definitive treatment could have given time for the infections to disseminate further to CNS region and cause further pathology including dementia. The narrative was typified by a participant by the saying below.She was discharged from the hospital after spending about three weeks, and advised to continue with her treatment from home. \u201cThe doctor said that my mother was much better but needed to continue taking some medication, and as said by the doctor, to-date my mother mostly suffers only from the effect on the brain, which causes her to lose memory quite often and fail to talk or make sense out of what people are saying, this is all that she is still going through once in a while\u201d \u201cSome key informants narrated that their patients would get admitted in the hospitals but could not stay longer because of the treatment expenses they could not sustain admitted in the hospitals to receive the desired treatment and so gets discharged to receive further treatment from home. This prompted discharge of patients before full recovery from hospitals and receive the rest of care while at home without follow up from the health workers to assess improvements in the conditions of the patient.\u201cThe only treatment she received was local herbs that was given to her from the village and prayers that the church pastor came home and prayed when we told him of what was happening to her. We could not raise the money to pay for the drugs the doctors had prescribed for her\u201d Some key informants also reported of their relatives (the older persons) sometimes used local herbs to treat themselves. They related this to the high financial constraints that their families could not raise to meet the cost of biomedical care. They also attached the condition of CNS infection and dementia to spirituality that did not require biomedical care and thus opted for spiritual care. This was exemplified by a narrative from a participant below.\u201cShe had only used the painkillers and antibiotics which helped her to reduce the pain. These drugs used to help her reduce the pain but was unfortunately just helping her temporarily and after sometime the pain gets triggered again and kept on increasing overtime\u201d Some key informants reported that their patients the older persons were being treated mostly with pain killers and antibiotics. Such presumptive treatment without specificity on the type of infection the medicines are targeted at instead escalated the condition. Participants reported that the presumptive treatment would palliate temporarily and then the patient\u2019s condition reoccurs. This was exemplified by a narrative of a participant below.We explored the challenges faced by the caregivers or family of the older persons with a positive history of CNS and probable or possible dementia while seeking the desired health care. This theme of Facing a Multitude of challenges to optimal diagnosis, treatment and care therefore consolidates all the diagnosis, treatment and care related challenges or difficulties encountered by the demented persons, their caregivers or family. The findings are described below.\u201cShe faced financial constraints and couldn\u2019t start medication. She spent a lot of money in the tests and because of this, purchasing the prescribed medication became a little challenging for her\u201d Many of the participants expressed the lack of money was the main reason for the failure of their patients the older persons to receive the desired care. The lack of money for care could probably be due to limited the financial support for the elderly persons in the community. The lack of money hindered them from receiving quality care from quality health facilities which offered specialized care for CNS infections. The above narrative was typified by a participant in the saying below.When the pain first started she kept visiting the hospital time and again to get medical help, she was given drugs without any thorough checkup to find the origin of the illness\u201d \u201cSome key informants also reported that the older persons lacked proper diagnosis in the initial stages of the infection. The inadequate or lack of diagnostic equipment\u2019s in health facilities led to treatment of the presenting signs and symptoms without definitive understanding of the causative agents of the infection. This led to reoccurrence of the infection and long stays in hospitals. One participant narrated it as below.Old age is one problem I can say is affecting her memory because at this time she needs special attention they used to get but now they are not getting. The need someone to keep around and do for him most of the work, you can see he is even weak\u201d \u201cSome key informants also reported that because of the forgetful nature of these patients, if not helped and reminded to take their drugs they end up missing taking the drugs in the right time. Therefore, their patients need a full time person to take care of them, since even their treatment take longer durations. One participant had the description below to narrate.Our study explored the Central Nervous System (CNS) infection illness trajectory to dementia among the older persons with positive history of CNS infection illness and later life dementia in northern Uganda. The themes that emerged were four and they were the presentation of early symptoms of illnesses, manifestations of co-morbidities and or their medications, seeking and receiving of series of improper diagnosis, treatment and care and facing of a multitude of challenges to optimal diagnosis, treatment and care.The early symptoms of CNS infection illness among older persons with dementia that emerged from interviews of key informants included chronic headache, neck pain, back pain and fatigue. These findings concur with the findings from a previous study conducted in the United States (US) where elderly patients with CNS infection illness presented with headache, fever, neck stiffness and altered mental status . The impInterestingly, our study found the existence of comorbidities of high blood pressure, CNS infection illness and dementia among older persons with positive history of CNS infection illness and later life dementia. There is limited literature on the comorbidity of high blood pressure, CNS infection illness and dementia. Whereas previous studies have shown separate associations between CNS infection illness and high blood pressure, high blood pressure and dementia, CNS infection illness and dementia , 14, theOur study also found that some of the older persons with positive history of CNS infections and later life dementia were once victims of road traffic accidents involving traumatic injury to the head, neck or spine developed CNS infections later in life. The road traffic accidents involving traumatic injury to the head, neck, or spine have the potential to cause breakage in surface barriers such as the skin and bones allowing pathogens from the external environment to gain entry into the CNS and cause CNS infections. These findings agree with a previous study conducted in the US where CNS infection was also found to result from trauma and fractures involving the CNS . These fThe treatment and care modalities received by the older persons with positive history of CNS infections and later life dementia in this study included a mix of biomedical care, home-based care, and local herbs. This finding concurs with findings from previous studies conducted in southwestern Uganda where caregivers or families of older persons with dementia were found to be seeking healthcare for their patient with dementia from both formal and informal care providers . The simOur study also found that pain killer was among the treatment for pain management among the older persons with probable or possible and positive history of CNS infections. This could be as a result of pain being reported to be among the symptom of CNS infection the older persons with possible or probable dementia experience. This finding is in conformity with previous studies were analgesic were also reported among the medication for pain management among older patients with dementia , 17. TheOur study in northern Uganda further found that older persons with history of CNS infection and dementia in later life used local herbs as one of the treatment and care modality for the neurological conditions. These results is in conformity with the previous studies were plant-based medicines were found to be the most frequently sought and used mode of treatment for a number of CNS disorders , 19. TheOur study found that poverty was one of the challenges hindering the older persons from obtaining timely and optimal health care for both the early CNS infections and the dementia in later life. As many of the caregivers made mention of their family\u2019s inability to raise funds for carrying out diagnostic tests and procuring the drugs as prescribed by the healthcare professionals. This result concurs with the previous study conducted in South Africa where poverty and financial stress were highlighted as the most common barrier to providing care for older persons with dementia \u201322. ThesOur study in northern Uganda also revealed that patients with positive history of CNS infections and later life dementia encounter a series of missed diagnosis and mismanagements of their neurological conditions. This was probably due to the lack of equipped medical laboratories in most of the healthcare settings in northern Uganda being a post armed conflict area. These results conforms with findings in previous studies, were late diagnosis and syndromic approaches are used to treat CNS illness among older persons . The finLastly, our study in northern Uganda unearthed the need for government and partners to consider policies and mechanisms of care for older persons including those with the positive history of CNS infections and later life dementia to address their long course of treatment and care needs. The long time for treatment and care needs of the older persons with a positive history of CNS infections and later life dementia put their families not only in financial distress but also in emotional discomfort. Our findings conform to the findings of previous studies where caregivers were faced with similar challenges of a long course of treatment and extended hours of caring for the persons with dementia , 23. TheThe current study in northern Uganda did not conduct laboratory investigations on the participants to confirm the positive history of the CNS infection illness. This was however addressed by obtaining additional data on the CNS infection illness from the past medical discharge forms of the participants. The natures of the CNS infection illnesses were written in the medical records as laboratory results or medical diagnosis for example \u2018Cryptococcal meningitis\u2019 although some of them were based on clinical history and physical examinations. Also, control for potential confounders for the association between CNS infection illness and dementia such as traumatic injuries were not possible in the qualitative research design but are well controlled for in the preceding quantitative study in the same setting which investigated the prevalence of CNS infections among older persons and its association with dementia among older persons in northern Uganda. Additionally, key informants who were caregivers of the index participants were the ones involved to provide data about the CNS infection trajectory to dementia of the index participants. The concurrent manifestations of multiplicity of symptoms in older persons made it not possible to examine what symptoms or comorbid conditions led to which type of treatment seeking. The reflexive thematic analysis of data as they manifest from participants resulted in multiple symptoms and factors with or without proven causative relations to possible or probable dementia.Older persons with the positive history of CNS infection illness and later life dementia in rural northern Uganda were reported to present with symptoms of early life CNS infection illness ranging from neck pain, back pain, chronic headache, and fatigue. There were also reports of comorbidities particularly road traffic accidents involving traumatic injury to the head, neck, and spine, high blood pressure, chronic headache, and or their medications in the older person\u2019s trajectory to later life dementia. A plurality of healthcare which included both formal and informal healthcare medicines were reported to be sought and utilized for the treatment and care of the CNS infection illness and the dementia without thorough checkup for the CNS infection illness. Sticking out were the reported challenges of poverty, and long course of treatment and care for the older persons with positive history of CNS infection illness and dementia which requires government interventions in the form of policies and mechanisms for funding of institutions or agencies to facilitate care for the older persons. Health professionals should conduct routine screening of older patients for history of CNS infection illness, chronic headache, high blood pressure, history of traumatic injuries to the head, neck and spine and their proper management to reduce the likelihood of dementia in later life. Further research with case\u2013control or retrospective cohort design is recommended to characterize the trajectory of CNS infection illness to dementia including the time, duration and comorbidities among others."}
+{"text": "In 2020, Afghanistan supplied around 85% of the world's heroin. The recent Taliban takeover and political upheaval seems highly likely to impact the supply chain, but how? This literature review aims to explore the background of heroin production and possible consequences of the recent conflict, both for suppliers and for end users.In addition to recent mainstream media news articles on the Afghanistan conflict, PubMed search terms \u201cheroin adulteration\u201d were used to find 202 results. Only results published from the year 2000 onwards were examined for relevance, leaving 160 results. These were reviewed for relevance and led to suggestions of similar PubMed articles to arrive at the final 23 sources used.Studies of previous heroin shortages in Australia and the UK are discussed to gain insight into the potential effects of a future shortage. A reduction in heroin exports from Afghanistan would cut down the supply to most nations excluding North and South America. Sources of evidence for our current understanding of the supply chain are examined. Specific US and UK policy failure which led to the current situation is also provided for context.Methods of production in Afghanistan and smuggling routes are also examined to help predict impending changes.Given the number of factors involved it is difficult to anticipate with much certainty how the Taliban takeover of Afghanistan will affect the global heroin trade, but based on the available literature it seems more likely that this will cause shortages rather than an increased supply.Clinicians should be aware that in line with previous shortages, this may cause a shift towards increased rates of polysubstance use in regular heroin users. We may also see a rise in incidents of harm from heroin adulteration with substances other than the currently widespread paracetamol and caffeine."}
+{"text": "The authors regret that the title shown in the original article was incorrect. The correct title should read as follows:Preparation of superhydrophobic surfaces with micro/nano hierarchical structures by nanoimprinting using anodic porous alumina molds.The Royal Society of Chemistry apologises for these errors and any consequent inconvenience to authors and readers."}
+{"text": "Housing security is a likely indicator of loneliness but there are few studies that focus specifically on the relationship between the two. This paper presents findings from a New Zealand Ageing Well National Science Challenge research programme that presents findings on the impacts of housing and living standards on loneliness and social exclusion. Method: This presentation will provide results from a study of 200+ M\u0101ori aged 50 years and over. Key questions around loneliness and social isolation were co-created with the participants and responses compared with standard international scales to help identify both universal aspects of loneliness and culturally specific aspects. Questions relating to housing security, affordability, living standards and neighbourhood safety were also asked. Regression analysis was used to test the statistical significance of the various relationships between differing aspects of housing and loneliness.The results demonstrate statistically significant relationships between housing quality, affordability, living standards and neighbourhood suitability with both the universal and culturally specific scales of loneliness. Overall greater housing security and quality was shown to be negatively associated with loneliness, which suggests it contributes to the reduction of loneliness.Addressing the quality of social connections has often been seen as the key way to address loneliness. The results of this study suggest housing security and living standards play an important role in people\u2019s perception of loneliness and their experience of it, as well."}
+{"text": "This article has been corrected to fix a typo in the first sentence of the Results section:\"A total of 177 patient files were reviewed during the study period, of which 87 patients met the inclusion criteria.\"The correct amount of patients meeting the inclusion criteria was in fact 89, not 87. This sentence has been amended to reflect this. The journal sincerely regrets that this typo was not caught and corrected prior to publication."}
+{"text": "Emotional support has been consistently identified as a mechanism through which socioeconomic resources influence mental health outcomes. Despite emerging evidence that compassionate love has a beneficial effect on mental health, its distribution across levels of financial strain and subsequent role in mediating the effect of financial strain on later life mental health have yet to be examined.Based on our nationwide web-based survey of adults aged 50 years and older (n=1751), we conducted a mediation analysis to estimate the direct and indirect effects of financial strain on depressive symptoms and anxiety.We documented a statistically significant overall effect of financial strain on depressive symptoms and anxiety . We found a statistically significant path-specific effect through compassionate love alone on depressive symptoms and anxiety , but did not find effects for paths through emotional support. There was also a significant direct effect of financial strain on both depressive symptoms and anxiety. Discussion: Our study advances a new line of research by looking at the role of compassionate love in transmitting the effects of financial strain on mental health in later life. Findings suggest that the detrimental effect of financial hardship on mental health operates through its negative effect on the receipt of compassionate love, rather than by its impact on emotional support."}
+{"text": "Incorrect corresponding authors were indicated in the published article while the correct version is shown above; Wei Zhang rather than Weilong Liu is the co-corresponding author.The Royal Society of Chemistry apologises for these errors and any consequent inconvenience to authors and readers."}
+{"text": "As the number of older incarcerated persons grows, evaluating changes in their physical and mental health over time may be important for appropriate planning and needs assessment. Based on findings from the Aging Inmates\u2019 Suicidal Ideation and Depression Study (Aging INSIDE), we will provide recommendations for assessing both objective and subjective physical function in older incarcerated persons. We will also discuss our experiences with assessing depression and suicidal ideation in this population and describe how the processes for collecting data needed to be modified during the COVID-19 pandemic. Those attending this session will learn about the pros and cons of using face-to-face assessments and mailed surveys to assess physical function and mental health among older persons in the prison setting and will learn how these outcomes may differ between those who have a life sentence versus those expecting to be released from incarceration in late life."}
+{"text": "The pandemic further exacerbated racial and ethnic health disparities with BIPOC communities experiencing significantly higher infection rates and higher hospitalization rates compared to White populations. Underlying medical conditions that disproportionately affect BIPOC populations and social determinants of health can account in large part for increased rates of morbidity and mortality. Within the long term services and supports (LTSS) continuum, health disparities exist in both who receives and provides care. The four papers in this Social Research Policy and Practice Presidential Symposium will highlight factors that result in health disparities across the LTSS continuum and propose possible policy and practice solutions to address the disparities. The first paper presented will be an overview of existing nursing home workforce issues that continue to impact disparities in the quality of resident care. The second paper presented examines nursing home resident quality of life disparities from a measurement perspective. The third paper will highlight issues on elder abuse and mistreatment of rural elders, American Indian and Alaskan Natives. The fourth paper will present recommendations from key stakeholders of the RAISE Family Caregiving Advisory Council on how to meet the needs of underrepresented groups of family caregivers. Policy and practice solutions to reduce disparities will be discussed."}
+{"text": "Our public health system is advancing activities to prioritize the health and well-being of older adults and recognizes the importance of policies to support us all as we age. Faculty will discuss national efforts underway to inform and support an age-friendly ecosystem."}
+{"text": "Animatronic pets can improve psychosocial outcomes among older adults, but little is known about in-home use by Veterans living with dementia and the perceptions of informal caregivers regarding these tools. This quality improvement project examined the usability and acceptability of animatronic pets by community dwelling Veterans living with dementia from the perspective of informal caregivers. Usability and acceptability were examined through a structured telephone interview with 17 caregivers. Usability was operationalized as frequency of: pet use by the Veteran , and reminders provided by caregivers . Acceptability was defined as perceived benefit and satisfaction (measured using acceptability tool with close and open-ended response items) as reported by caregivers. Results indicated high usability (71% of Veterans used the pet daily with reminders provided by 30% of caregivers) and acceptability ; Satisfaction: 94% of caregivers would continue to encourage use of the animatronic pet by the Veteran and recommend one to others). Open-ended responses suggest that they may be less satisfying to those who lost a real pet or did not have an affinity for pets earlier in life. Animatronic pets can be used with minimal assistance by Veterans with dementia and are acceptable to informal caregivers. As VA initiatives support provision of these pets, additional research is needed to examine their broader impact on Veterans living with dementia specifically."}
+{"text": "Innovation distinguishes between a leader and a followerThis quote by Steve Jobs has defined the most admired surgeons in our discipline. Innovation fueled by surgical intelligence can expand the reach and performance of surgery beyond what was once considered possible. Endonasal surgery has shepherded skull base surgery into an era in which some of the radical open skull base exposures have been replaced with minimally invasive endonasal corridors, resulting in the concept of operative space being replaced by operative angle.Neurosurgical Focus: Video demonstrates an effort to push the boundaries of endonasal surgery for resection of an intradural lateral brainstem tumor. Although the retromastoid approach would have provided reasonable exposure of this lesion and potentially more aggressive resection while placing the VI nerve at less risk, the authors chose the endonasal route and were able to achieve a good result. In this video, the limitations of microsurgical instrumentation in carrying out intradural microsurgery within lateral trajectories in this operative space are evident. The angles of freedom become progressively more restrictive and challenge the microsurgical prowess of the surgeon to achieve maximal resection.The video titled the \u201cEndoscopic Transnasal Resection of the CP Angle Schwannoma\u201d by Kiyofuji and colleagues in this issue of Pushing the boundaries of minimally invasive surgical approaches at the expense of increased technical difficulty and its yield of resection frequently haunts us. Our ability to resect brainstem lesions via endonasal approaches is at its early stages and requires further evolution of endoscopic microinstrumentation and development of objective selection criteria. Ultimately, the operation is not only about how to get there but also, more importantly, about what to do when you are there. I am thankful to Dr. Kiyofuji and colleagues for their thought-provoking video."}
+{"text": "The main challenges after getting started with a podcast will be growth and sustainability. This presentation will focus on promotion tactics for digital health podcasts, including the pros and cons of different hosting platforms and the use of social and academic networks for promotion. The importance of sustainability and consistency for growth will also be discussed, including some practical tips on productivity and team management for content producers."}
+{"text": "Physical activity across the life course contributes to physical function and health in later life. Here we characterize a measure of physical activity history, newly implemented in participants of the Baltimore Longitudinal Study of Aging (n = 690). Participants selected one of four levels to describe activity during each decade of life from age ten to the present. Recalled levels of physical activity are positively associated with activity assessed in current and prior decade study visits, suggesting that the recalled estimates are consistent with historic activity. A summary measure based on ranking activity patterns was associated with measures of physical performance, muscle and fat areas quantified from computed tomography images as well as some indicators of homeostatic dysregulation (p <.05). The observed associations suggest that an estimate of physical activity across decades provides complementary information to estimates of current activity and reemphasizes the importance of consistently engaging in physical activity."}
+{"text": "The U.S. is experiencing a demographic shift characterized by a significant segment of the population entering older age groups and beginning to require specialized eldercare, however little is known about the influence of demographic characteristics on individuals\u2019 involvement with long-term care institutions. I use data from the Health and Retirement Study and logistic regression models to examine how the identities and resources people bring to the later stages of their lives influence their use of nursing homes. I find that individuals\u2019 levels of human capital \u2013 measured through their educational attainment \u2013 have the strongest influence on their use of nursing homes, with individuals with college degrees having significant increases in the odds of \u200breporting any nursing home stay and in the expected count of nursing home stays. I posit multiple pathways by which education could increase the likelihood of using institutionalized care, including through the social mobility of other family members as well as the ability to navigate healthcare resources and evaluate eldercare options. This detailed examination of the intersection between older ages, individual characteristics, the accumulation of different kinds of capital over the life course, and the involvement with formal care facilities provides valuable insight into the relationship between individuals and institutions across older ages and can inform policies attempting to prepare the landscape of formal care institutions for the influx of possible consumers."}
+{"text": "Community-based health enhancing physical activity (PA) initiatives often lead to important mental health and wellbeing outcomes beyond improvements in physical activity levels. However, identifying what outcomes to measure and how to measure them is a challenge in community-based work. There is a lack of practical guidance on how to strengthen mental health and wellbeing outcomes within the context of PA initiatives. This presentation will share the work on a project with community based practitioners and mental health/physical activity experts which is being led by the HEPA Europe Working Group on HEPA promotion in socially disadvantaged groups, supported by WHO Europe.The presentation will engage participants in discussions around the following questions:What are the most important mental health and wellbeing outcomes of community-based health enhancing physical activity initiatives in Europe, and how can these best be assessed for evaluation purposes?What are the needs of practitioners working in communities to promote mental health through physical activity?"}
+{"text": "In Response: We thank McNamara and colleagues for their commentary (We believe that underestimations of the number of cases in France can be improved by increasing awareness of healthcare professionals through publications describing the risk factors associated with NTM HAI and by triggering clinical and microbiological vigilance through networks and registers. We hope that our article ("}
+{"text": "Mycobacterium tuberculosis antigens using immunodiagnostic testing. It is recommended that TB exposed children and adolescents and those living with HIV receive TB preventive treatment (TPT) to reduce the risk of progression to TB disease. Several TPT regimens of similar effectiveness and safety are now available and recommended by the World Health Organisation.The burden of tuberculosis (TB) in children and adolescents remains very significant. Several million children and adolescents are infected with TB each year worldwide following exposure to an infectious TB case and the risk of progression from TB infection to tuberculosis disease is higher in this group compared to adults. This review describes the risk factors for TB infection in children and adolescents. Following TB exposure, the risk of TB infection is determined by a combination of index case characteristics, contact features, and environmental determinants. We also present the recently recommended approaches to diagnose and treat TB infection as well as novel tests for infection. The tests for TB infection have limitations and diagnosis still relies on an indirect immunological assessment of cellular immune response to Mycobacterium (M) tuberculosis complex transmitted by inhaling bacilli contained in droplets expelled by a TB contagious individual : d: d106]: Despite the recent advances in the development of shorter TPT and the pragmatic WHO approach for high TB incidence and resource limited countries to reduce barriers such as chest X-ray to rule out TB disease and TBI testing before TPT initiation, there is still a low uptake of TPT among child contacts and children and adolescents living with HIV . The GloSystematic TB screening of child contacts and children living with HIV including adolescents is essential to early detect and treat those with TB and prevent others from develop TB. This is likely to contribute to reduce the burden of TB. Any innovation that is adapted to the limited resources of most high TB incidence countries will support these efforts but the lack of tools such as chest X-ray and TBI testing should not be a barrier to prescribe TPT to these children. Innovative decentralised, child and adolescent centred approach are also essential to ensure acceptability and access to treatment."}
+{"text": "The authors regret that the affiliation details for Mohamad Pezeshki-Modaress were incorrect in the original article. The correct author affiliations are as presented above.The Royal Society of Chemistry apologises for these errors and any consequent inconvenience to authors and readers."}
+{"text": "Plants form complex interaction networks with diverse microbiomes in the environment, and the intricate interplay between plants and their associated microbiomes can greatly influence ecosystem processes and functions. The phyllosphere, the aerial part of the plant, provides a unique habitat for diverse microbes, and in return the phyllosphere microbiome greatly affects plant performance. As an open system, the phyllosphere is subjected to environmental perturbations, including global change, which will impact the crosstalk between plants and their microbiomes. In this review, we aim to provide a synthesis of current knowledge of the complex interactions between plants and the phyllosphere microbiome under global changes and to identify future priority areas of research on this topic. Global agricultural production is expected to increase by 70% by 2050 to feed the increasing human population . It has beenreported that organic farming increased fungal alpha diversity in the wheat phyllosphere, compared with conventional management with increasing surface temperature of 2\u00b0C, Aydogan et\u2009al. (Sphingomonas spp. and Rhizobium spp.) and enhancement of potentially pathogenic bacteria in the phyllosphere may indicate that warming increases the potential transmission of pathogens in grassland ecosystems , warming negatively affected putative fungal pathogens phyllosphere showed that rain events did not have a significant effect on the richness or evenness of its phyllosphere bacterial community showed different abilities in shaping the soil microbiomes.As the outcome of past evolutionary history, the phylogenetic relationship between plant species has been found to be able to interact with climate change to modify plant microbiomes What are the mechanisms within and across plant hosts that underpin host\u2013microbe interactions? (2) What are the major microbial taxa in the phyllosphere that control or mediate plant performance ? (3) How does the phyllosphere microbiome interact with other plant microbiomes? (4) How can we manage the phyllosphere microbiome to increase plant health and performance in a changing world? (5) How will host and the phyllosphere microbiome evolve in response to global changes, and what impacts will this ecoevolution have on ecosystem functions? Therefore, we argue that advancing our fundamental understanding of the impacts of global changes on the phyllosphere microbiome and related ecosystem functions requires interdisciplinary investigations. We need to shift the focus from the level of community ecology to ecosystem ecology for a better understanding of the mechanisms underlying responses of the \u2018holobiont\u2019 (assemblage of a plant and its microbiome living in or around it) to global changes. A systems approach is needed to understand the complex interactions between the phyllosphere microbiome and host fitness, and the ecological functions of these microbes for plant nutrition uptake, growth and survival under global climate change."}
+{"text": "Cancer and its treatment often impose physical and psychological consequences. Children with cancer are not only at a risk of adverse events resulting from medical procedures but also severe effects on their social and mental health as a result of its treatment. Depression being one of the most common psychiatric disorders associated with cancer in children and adolescents. The current study aims to provide evidence of an easy and inexpensive intervention that can be used in oncology patients in a low resource setting to help maintain mental health stability in pedriatric patients..To examine the effectiveness of therapeutic group art therapy, in reducing depression scores in children with cancer.The study is quasi experimental, through convinient sampling data of fifteen children in initial stage of thier treatment were selected. They were divided into two groups experimental and controlled through random allocation. Three sessions of forty minutes of group art therapy was given in experimental group, in control normal treatment was provided excluding group art therapy. Childhood Depression Scale (CDI) was used in both group as pre and post test to determine the depression level.The results shows a positive change in the level of depression in experimental group as compared to controlled group.Group art therapy is an effective and inexpensive way of reducing depression level of paediatric leukemia patients that can be used by oncology healthcare centres worldwide with trained mental healthcare professionals in order to maintain positive treatment results of cancer."}
+{"text": "The authors regret that an incorrect affiliation was given for co-author Mehdi Bazarganipour in the original article. The correct affiliations are as shown here.The Royal Society of Chemistry apologises for these errors and any consequent inconvenience to authors and readers."}
+{"text": "There is a significant problem of unidentified and unaddressed reading disabilities leading to psychiatric problems in children and adolescents because of not having proper tools of assessments in schools. This research proposal can be a revolutionary paradigm in identifying, classifying, modeling, and benefitting children and adolescents with a specific learning disorder (SLD).The objective of the current research proposal is to provide a framework of our reading program and collect data over time as cohorts to reflect the positive outcomes of the reading program.After a reading assessment, students with specific reading disabilities will be registered in the program for 10 weeks. Every student will have reading training and CBT on different days of the week via video conference. Data will be collected retrospectively from the initial cohort and subsequent cohorts will be added to the data collection process for a final analysis when 60 students have completed the program.Initial two weeks of reading training and CBT shows positive and promising results so far.Children need to be screened at a young age for a reading disability before they struggle academically, and develop psychiatric issues later in life.The aim of this research proposal is to help us understand, evaluate and benefit children with Specific Learning Disorder (SLD) with our newly setup reading program at RUSH University Medical Center, Department of Child and Adolescent Psychiatry."}
+{"text": "In the originally published article, the provided supplemental figures and tables were erroneously missed in being uploaded to the Supplementary Data file. The figures and tables have now been added to the Supplementary Data file online."}
+{"text": "This is easily verified by consulting PubMed, a free search engine of biomedical scientific literature online since 1996. By entering \u201cpsychology\u201d and \u201cvirtual reality\u201d (VR) as search keywords, it is possible to verify a progressive growth in the number of articles in the sector that in a few years it has gone from a few dozen to several hundred articles per year .An important field of application of VR is clinical psychology. The use of computer screen-displayed clinically relevant scenarios for therapy has a limited impact in the field, due to the relatively low ecological validity of these experiences. VR technology offers a solution to this limitation by allowing the opportunity to actively perceiving one's own body within a simulated environment, letting individuals to experience reality-like situations Talking about clinical practice, VR is becoming an increasingly established and widespread method alternative to in-vivo exposition for the treatments of several mental disorders. Recent studies have shown that this approach provides better results compared to traditional therapies for mental disorders Advanced applications of VR for the treatment of anxiety and fear could refer to an integrated human-computer system Insights supporting the importance and efficacy of VR in the clinical field is also provided by research on the rehabilitation of neurological disorders. For example, a recent review article investigating the relevance of VR in stroke rehabilitation found that this technology can be more effective than standard therapies in improving upper limb function and activities of daily living function when used in addition to usual care Finally, VR can be useful for creating experimental settings relevant for the study of clinical symptoms through the involvement of healthy participants. This is the case of Pavlovian conditioning protocols In conclusion, the current state of the art suggests that the use of VR technology has great potential in boosting clinical practice by promoting therapeutic efficacy, especially when combined with other well established therapeutic methods such as mindfulness and NIBS. The community of clinical psychologists and clinical neuroscientists should look with enthusiasm and genuine interest in VR technology as it could make a difference in psychotherapy and neurorehabilitation."}
+{"text": "Rural and remote communities in Australia are characterised by small but widely dispersed populations. This has been proven to be a major hurdle in access to medical care services with screening and treatment goals repeatedly being missed. Telemedicine in ophthalmology provides the opportunity to increase the availability of high quality and timely access to healthcare within. Recent years has also seen the introduction of artificial intelligence (AI) in ophthalmology, particularly in the screening of diseases. AI will hopefully increase the number of appropriate referrals, reduce travel time for patients and ensure timely triage given the low number of qualified optometrists and ophthalmologists. Telemedicine and AI has been introduced in a number of countries and has led to tremendous benefits and advantages when compared to standard practices. This paper summarises current practices in telemedicine and AI and the future of this technology in improving patient care in the field of ophthalmology. However, one of the most targeted diseases is diabetic retinopathy. Despite improvements in diabetic care, diabetic retinopathy remains the leading cause of visual impairment in working\u2010age adults.2A number of formal telemedicine programs in ophthalmology exist in rural and remote communities across Australia. A recent systematic review of current telemedicine programs in ophthalmology identified five general eye care programs, three emergency care programs and five diseases specific models of care.An program run in Mt Isa, Queensland, allowed for ophthalmologists working in Townsville to remotely assess patients attending the emergency department, who would have otherwise been required to travel significant distances.Lions Outback Vision has provided telemedicine service to rural and remote regions of Western Australia for over a decade. These regions continue to have workforce shortages and telemedicine has enabled increased access for populations dispersed across a vast geographic area.The uptake of telehealth in remote and regional services remains underwhelming given the potential for improving equity in eye care access. The challenges of coordination between outreach optometry and ophthalmology services as well as availability of specialists for on call integration into daily workflow are logistical hurdles.3There are a number of different forms of telemedicine within ophthalmology currently in use, all of which have different logistical and technological requirements Table\u00a0. The mos4Within Australia and internationally Indigenous people have poorer health and social outcomes compared to their non\u2010Indigenous counterparts. This includes a shorter life expectancy, increased infant mortality and morbidity and lower educational attainment.Although resources have been committed to improving screening and treatment rates for ophthalmic conditions in Indigenous populations, between 2008\u20132009 and 2019\u20132020 screening rates for diabetic retinopathy only increased by 4%.5The COVID\u201019 pandemic saw a marked expansion of existing telehealth services and the creation of new of telemedicine programs to maintain both patient and clinician safety. Of great concern during this expansion period was patient safety both from a COVID\u201019 perspective and existing chronic health conditions. To minimise the infectious disease risks for both patients and clinicians in Australia, a temporary expansion of Medicare funding for telemedicine during the COVID\u201019 pandemic saw the introduction of Medicare benefits to cover the use of audio only consults and the use of telemedicine in metropolitan regions which had previously been unfunded. The lack of funding is often listed as a key reason for a limited uptake of telemedicine. During the COVID\u201019 epidemic, ophthalmology saw one of the largest decreases in case volume, with one US study reporting a drop of 81%,Of concern during this period of transition was the effect on patient outcomes and safety. Concerns were raised that deteriorating ocular health would be missed and that both patients and clinicians would fail to engage with a telemedicine service. A number of studies have been conducted in order to address this concern and measure any potential impact that a change in patient care may have had. One large meta\u2010analysis of just under 1000 primary studies, including one on ophthalmology, found that telemedicine in a number of forms was not inferior to conventional care.6Clinician triage and assessment is still integral to current models of telemedicine in Australia for rural and remote populations Figure\u00a0. The incThese DLS are able to triage and assess patients for eye diseases and overcome the initial hurdle of accessing a clinician for assessment which has been identified as a barrier particularly in rural areas. This type of artificial intelligence diabetic retinopathy screening model has been trialled in Indigenous communities in Australia. A trial from our group in a number of specialist and primary care clinics including an Aboriginal Medical Service clinic in Western Australia demonstrated that the sensitivity and specificity were above the above that required by Food and Drug Administration sensitivity and specificity endpoints, 96.9 and 87.7 , respectively.Any form of telemedicine is not without its limitations, either in technology and access to clinicians. The introduction of artificial intelligence overcomes the initial hurdle of access to clinicians for screening however these systems are limited by the quality of camera accessible for assessment and the original training image dataset used which tends to be primary of Caucasian descent. This limits the generalisability of artificial intelligence algorithms with area under the curve lower in Aboriginal and Torres Strait Islanders compared to Chinese, Malay and Caucasian populations.7Alongside the benefits of improved and more timely access to care there are economic benefits associated with the use of telemedicine and AI. There is a well\u2010established evidence base for the cost\u2010effectiveness of telehealth systems in multiple settings globally.A common theme to these economic analysis is that with greater uptake, the cost\u2010effectiveness increases. Any new telemedicine program must therefore effectively identify the needs of the population they are serving and integrate into any existing health\u2010care system in order to maximise the cost benefit both at an individual and government level.8A maldistribution in Australia's eye health clinical workforce means rural and remote populations have chronic issues with eye healthcare access. Therefore, the role of ophthalmologists will be in the management and treatment of surgical management or complex eye diseases. Current telemedicine programs integrate optometrists, nurses and general practitioners; however, further technological advances in ocular imaging and data sharing mean that this can be augmented further and, in some cases, conducted by patients themselves using artificial intelligence.Telemedicine with the addition of artificial intelligence provides many advantages in an aging population with increased healthcare needs, with artificial intelligence screening systems becoming more effective and their integration into telemedicine cheaper. This enhances primary care screening and ensures patients are well triaged for specialist clinician input as required and in an appropriate time frame for optimal visual outcomes.9There are numerous benefits provided by telemedicine ophthalmology programs. These include the increased access to screening and treatment, which is especially important in rural and remote areas which have continue to lag in access and uptake of screening and treatment goals. These telemedicine programs both with and without artificial intelligence enhancements allow for the prompt and early detection of disease, allowing for better patient outcomes. By augmenting screening with integrated artificial intelligence algorithms, further efficiencies may ensure appropriate referrals, reduced travel time and timely triage. A number of studies have already demonstrated the cost effectiveness of telemedicine programs, especially within diabetic retinopathy and these cost savings are likely to increase with the increased expansion and adoption of telemedicine programs. The COVID\u201019 pandemic saw the rapid introduction of expanded telemedicine programs in many areas of medicine including ophthalmology. This may serve as an impetus to embrace telemedicine to provide high quality and timely access to healthcare for all Australians no matter their geographic location."}
+{"text": "ACS Applied Materials & Interfaces,1 which was not cited in this RSC Advances paper. The RSC Advances paper is a valuable and necessary supplement to the publication in ACS Applied Materials & Interfaces and focused on the reduced gas sensing performance of the devices instead of film characterization and film conductive performance.The authors wish to draw the reader\u2019s attention to their previous related study, published in RSC Advances paper, which should be attributed to The authors regret not giving correct attribution to Fig. 1\u20136 which duplicate data from The Royal Society of Chemistry apologises for these errors and any consequent inconvenience to authors and readers."}
+{"text": "To demonstrate the methodology and results for linking measures of neighbourhood walking-friendliness or \"walkability\" to Canadian health surveys and Canadian health surveys linked to administrative health care records. We linked multiple measures of neighbourhood walkability to hundreds of thousands of 6-digit postal codes of respondents to three large Canadian surveys using geographic information systems and anonymized banks of postal codes.Long term exposure to walkable neighbourhoods was associated with increased reporting of walking for utilitarian purposes. Moving to a high walkable neighbourhood from a low walkable neighbourhood was associated with a full unit decrease in the body mass index of Canadian men over a 12-year follow-up. In a linkage of walkability measures to respondents who wore biosensors for a one-week period in several Canadian cities, we found that neighbourhood walkability was associated with increased reporting of utilitarian walking but not overall physical activity and step counts as measured by biosensors.There is potential for walkable neighbourhoods to influence physical activity and body weight of Canadians which is more evident when individuals are followed for long periods of time."}
+{"text": "The assumption that \u201cnormal\u201d or typical sexual behavior exists is important for research and practice . The definition of normal sexual behavior is multifaceted, that is why its adequate understanding by students in the course of sexuality requires some effort.The focus of the research was the students\u2019 understanding of complicated normal sexual behavior.24 students completed adapted and modified questionnaire consisting 30 items concerning sexual behavior by deciding whether or not they consider each item as normal. Then the evaluations by each student on all items were generalized and discussed and summarized in this general form among all participants.Only 2 items were considered by all students as a normal: concerning sex somewhere other than a bed and masturbation after marriage. Some items were evaluated as normal by the half of participants: fantasizing about a person other than one\u2019s partner during sex; becoming aroused by peeping; dressing of the clothing of the other sex; having rape fantasies. Many items were characterized as normal by less or more than a half of the participants. Trying to answer the question of what elements of sexual behavior can be considered as normal, students aware the ambiguity of these assumptions and observe the variability in the opinions of other participants.Evaluation of different elements of sexual behavior and subsequent group discussion demonstrates for students some difficulties and uncertainty in defining normal sex behavior.No significant relationships."}
+{"text": "Advance care planning (ACP) is an important process to enable individuals to make their preferences known in the event of dementia onset. Racial and ethnic minorities have an increased risk of developing dementia. Understanding more about ACP differences by race and dementia status will help improve ACP communication among minority populations. For the current study the 2018 wave of the Health and Retirement Study to test the relationship between dementia status and ACP and if there were differences by race. Findings indicated that both African Americans and Hispanics are less likely to have completed ACP than non-Hispanic Whites. In unadjusted models, having a dementia diagnosis indicated a lower likelihood of completing ACP; dementia was not significant in the final model when controlling for predisposing and enabling factors. More research on the predisposing and enabling factors that influence ACP among minority and dementia populations is needed."}
+{"text": "While we may not be able to predict with certainty whether any particular individual can prevent dementia, we are now able to talk about dementia risk reduction at the population level. The Public Health Center of Excellence on Dementia Risk Reduction reviews and synthesizes the state of the science on modifiable risk factors for cognitive decline and dementia. The Center translates that science into public health action \u2013 identifying interventions and best practices to address those risk factors \u2013 and develops tools and resources for public health agencies. The Center disseminates this information and works with public health to undertake community-level actions to address risk factors. The Center also works with public health agencies to: (a) address the social determinants of health with respect to dementia risk; (b) build capacity to enable smaller agencies to engage in risk reduction activities; and (c) partner with health systems to advance risk reduction."}
+{"text": "The authors regret that the email address was not included for one of the three corresponding authors, Guang-ji Wang. Contact email addresses for all three corresponding authors are presented here.The Royal Society of Chemistry apologises for these errors and any consequent inconvenience to authors and readers."}
+{"text": "Dramatic changes in family life may have altered the structure and quality of social ties to family and friends. However, little is known about whether and how social relationships vary between older adults from different cohorts. Using data from the National Social Life, Health, and Aging Project, we compared social network composition and social support between older adults at ages 57 to 67 from the Silent Generation cohort and the Baby Boom cohort . Compared with the Silent Generation cohort, the Baby Boom cohort had significantly higher odds of not listing any kin in their core discussion network. There were no cohort differences in proportion of friends in the network. The Baby Boom cohort also reported lower levels of family and friend support than their counterparts. Results suggest that the Baby Boom cohort is more socially disconnected from friends and particularly family compared with the Silent Generation cohort."}
+{"text": "Refugees have been shown to be a vulnerable population with increased psychiatric morbidity and lack of access to adequate mental health care. By establishing cooperations between psychosocial centers and psychiatric clinics the state funded project refuKey by NTFN e.V. and DGPPN aims to improve access to and quality of mental health care for traumatized refugees pursuing a stepped-care model.As part of a larger project evaluation study four focus-groups among experts were conducted to explore the impact of refuKey on refugees\u2019 mental health care.Data analysis was conducted using Mayring qualitative content analysis as well as an additional quantitative survey with state refugee reception centers\u2019 employees.The results indicate that refuKey faciliated the access to mental health care for refugees in terms of systematic identification of mental disorders, eased transitions and increased networking between the mental health care institutions and sectors. Planning and implementation of treatment is described as being more coordinated, solution oriented and sustainable due to multiprofessional collaboration and regular use of qualified interpreters. Reduced distress as well as increased transcultural expertise was found for professionals.The persisting barriers for refugees in access to mental health care, especially to psychotherapeutic treatment and the emotional burden for professionals underlines the need for further support and research. The experts highly endorse the continuance of refuKey. Furthermore, they call for expansion of the project in terms of staff and new sites and changes of health policies to guarantee the access to adequate health care for traumatized refugees.No significant relationships."}
+{"text": "The authors are retracting \u201cAssessing the Dissemination of COVID-19 Articles Across Social Media With Altmetric and PlumX Metrics: Correlational Study\u201d :e21408) in alignment with COPE guidelines and based on an honest error that invalidates the results.Authors\u2019 statement:We sincerely regret our honest misunderstanding of the Altmetrics variables as it was discussed in our manuscript. As a team that values honest and ethical research, we are grateful to JMIR for bringing this grave error to our attention and appreciate our fellow peers for holding us to the highest standard of research. We strive to uphold integrity in our research and agree with the decision of the editors of JMIR to retract our original manuscript. We look forward to the opportunity to edit our work so our research accurately reflects the intention behind the Altmetrics variables."}
+{"text": "Pregnancy is associated with profound changes in pharmacokinetic processes. This is an important - and until recently neglected - area of research since the majority of women take drugs during pregnancy in addition to vitamin and dietary supplements. Recent evidence has emerged that the changes do not only include absorption, distribution and excretion but also drug metabolism, such as modifications in the regulation of hepatic metabolism and conjugation. Oestradiol is known to have an important role in the expression of cytochrome P450 isoenzymes and glucuronosyltransferase that are involved in the metabolism of psychotropic drugs. Recent studies of different psychotropic drug classes have shown that this can result in profound changes of plasma concentrations that commence early in pregnancy and gradually increase towards delivery. In this presentation pregnancy-induced metabolic changes that have been found so far for several psychotropic drugs will be discussed and the question addressed whether and how we should monitor plasma levels in our pregnant patients.No significant relationships."}
+{"text": "There are many definitions for polypharmacy used within clinical practice and research and many factors contributing to this problem. Definitions vary from being based on the number of medications the older adult is taking to a more qualitative evaluation of the appropriateness of medication based on the benefit of the drug for a specific problem. For research purposes the definition is more commonly conceptualized as being equivalent to taking five or more medicines. Polypharmacy is noted to be presented in about 40% of older adults living in the community. Limited research has focused specifically on polypharmacy in assisted living settings. In addition to concerns about polypharmacy in assisted living there has also been a focus on the use of psychotropic medication and opioids in these settings as prevalence ranges from 53% to 68%. Although there are not regulations related to decreasing polypharmacy via deprescribing or to decrease use of psychotropics or opioids in assisted living, there are currently major initiatives in geriatrics to focus on these areas. This symposium will provide current data on medication use and polypharmacy among a large sample of 781 assisted living residents from 85 communities across three states and address the impact of a Function Focused Care approach on decreasing polypharmacy and use of psychotropics and opioids. Lastly data will be provided on the value of Deprescribing Networks to help decrease polypharmacy within these settings. The findings from this symposium will provide recommendations for future research as well as guidance for clinical practice."}
+{"text": "The largely rural setting of Northern New England offers unique challenges to implementing improved acute care for the growing geriatric population. Northern New England is one of the United States\u2019 most rapidly aging regions, with Vermont and New Hampshire being the second and third oldest US states respectively by median age (U.S. Census 2017). There is a need to expand innovations in geriatric emergency medicine to reach older adults in rural areas such as Northern New England. Dartmouth-Hitchcock Medical Center and the West Health are collaborating on a project leveraging telehealth to extend the reach of a GED to rural hospitals, as well as investigate the opportunities for scaling and sustaining this concept to other rural facilities across Northern New England and throughout the country. This symposium will focus on our experience implementing a hub and spoke model to achieve our goal of improving the care of older adults in rural emergency departments."}
+{"text": "The aim of this research topic is to give the opportunity for clinicians and researchers from around the world to contribute with their experience and knowledge around challenges and solutions in the sphere of translational research in neuromuscular diseases (NMD). This is with reference to study design, outcome measures and what we have learnt from both successful trials and those that did not meet their primary endpoints. Resulting publications around this topic offer exciting and valuable insight which we hope can help guide future clinical trials as well as clinical practice. Lessons learned will benefit those developing research methodology to help improve trial outcomes and therefore clinical care for patients with neuromuscular diseases.Duong et al.). Traditionally, assessments have been performed in person with direct contact with the research subject. Recent global events have created additional pressures for industry in delivering face to face consultations. A number of industry sponsors quickly introduced amendments to their study protocols to enable remote evaluations. There may be many complications when utilizing a scale initially validated to be performed in person through a remote platform which may potentially impact the scale validity. Here a global network of physiotherapists report on methods for adapting current practices to accommodate remote testing and considerations for remote evaluations . Insight from these two manuscripts may provide valuable knowledge for considerations in study design and set up.Many factors may contribute to clinical trials not meeting their primary endpoint. One of the identified reasons is the lack of robust data to support the validity of a measure and poor-quality data collection. Significant efforts have been made to ameliorate these issues and one manuscript has provided a framework to guide the learning process for clinical outcome assessments (COAs) for use in both clinics and clinical trials. The process of teaching and learning COAs is necessary to maximize reliability of the measure and validity of the data collected. Evaluators involved in collecting data must do so in a standardised manner and must use clinical judgement and knowledge to accurately perform and score the COA. This manuscript is a consensus-based guideline to assist in the required training that must be employed for study start up for all evaluators regardless of experience . And finally, but not insignificantly are the implications of the use of social media in and around clinical trials. Can they be a force for good as well as perhaps their more usually perceived negative impact? In this paper they provide an overview of the guidance that has been published and muse the pros and cons of the use of social media in trials for rare disease (Nelson and Iannaccone). The knowledge based on past experiences may be extremely valuable as we continue to advance clinical trials and clinical care for patients with NMD.Prior experience in clinical trials has provided us another important tool for moving the field forward in these rare diseases. For example, in the last three\u00a0decades, several compounds have been assessed preclinically and within clinical studies for their ability to restore functional dystrophin levels or to modify pathways involved in Duchenne muscular dystrophy (DMD) pathophysiology. However, there has been a significant attrition rate of early and late phase trials. Here they present data from 16 compounds that failed to complete clinical development, despite positive results in the early phases of development . The autThe success of a clinical trial in the rare disease community may be based on many factors. The manuscripts within this issue have touched on some of the aspects that researchers must take into consideration. Furthermore, we must also remember that clinical outcome assessments utilised in clinical trials need to be robust measures based up"}
+{"text": "At a time of growing enrollment among adult learners, student bodies are increasingly age diverse. Identifying and reducing age-related bias on campus may be multipurpose in supporting those who experience ageism while promoting professional skills to combat ageism in students' future careers. The extant literature has primarily focused on ageism in the workplace and ageism experienced by faculty and staff in higher education while less has focused on ageism experienced by adult students and the possible disruption this creates to feeling included as part of the campus community. We present data from a mixed methods study of adult learners assessing the extent to which they experience and are impacted by age-related bias on campus. Data are used to justify faculty and student training to improve intergenerational contact in the classroom and beyond under the broader umbrella of DEI initiatives."}
+{"text": "In the second phase, semi-structured interviews will be conducted via selective sampling to record participant opinions, experiences and expectations of using cancer-related health services.We expect to identify and explain important personal barriers and facilitators related to the use of cancer screening and treatment offers. Further interviews with stakeholders in cancer healthcare, such as physicians, nurses and self-help groups will be conducted to complement data from the service-providers\u2019 point of view. The results will be analyzed with behavioral and sociocultural theories to gain a deeper understanding of perceived and experienced barriers in accessing cancer care in Germany and to formulate recommendations for prospective targeted approaches and interventions.Our findings will be useful for facilitating knowledge transfer and policy dissemination to increase public awareness about cancer offers and improve participation rates. The results will be also used to develop an interprofessional teaching module in the medical curriculum as well as prepare and implement advanced training courses for medical professionals certified by the State Medical Association.This study is funded by Strube Stiftung Stuttgart."}
+{"text": "Chorioretinitis is a serious ocular complication of congenital syphilis (CS) that can cause permanent vision loss. While antibiotic use and public awareness have helped dramatically reduce the incidence of syphilis in the twentieth century, the US incidence of syphilis has more than tripled from 2000 to 2018 [The Stanford University Network for Diagnosis of Retinopathy of Prematurity (SUNDROP) study is a telemedicine screening platform for retinopathy of prematurity (ROP) used by member hospitals that lack access to quaternary pediatric retina specialists. The SUNDROP platform has been used in expanded indications beyond ROP to provide hospitals with pediatric retinal screening including the transmission of retinal images in infants with known or suspected CS. We retrospectively analyzed the SUNDROP database to examine a more recent incidence of chorioretinitis among cases of CS. This index study was conducted in accordance with the Health Insurance Portability and Accountability Act and the tenets of the Declaration of Helsinki and with local approval of the Institutional Board Review (IRB 8572).Thirty-seven confirmed and seven probable cases of CS were identified from 2015 to 2020 following Centers for Disease Control case definitions . An addiThese preliminary findings suggest that even as the incidences of CS have risen, chorioretinitis remains a rare complication. While these results are specific to CS in neonates, they are consistent with a recent study that found hospital admissions for syphilitic uveitis have not increased despite a growing incidence of admissions for syphilis . Althoug"}
+{"text": "Building a health data pipeline is an opportunity not only to review the efficiency of data flows and organisational processes but also to guarantee that the resulting data system incorporates data protection and fairness principles by design. This session will cover some key aspects of data protection and the principles of data fairness and ethics:Transparency, simplicity and fairnessThe importance of a diverse team with diverse expertiseKeeping the business objectives in mind and purpose limitationCompliance with data protection directives (GDPR)"}
+{"text": "After this article was published, similarities were noted between this article and submIn response to queries about these concerns, the corresponding author provided the underlying data in The authors commented on aspects of how data were collected and analyzed for this study, but overall their responses did not fully resolve the concerns.PLOS ONE Editors issue this Expression of Concern to notify readers of the unresolved concerns discussed above, and to provide the data and updated figure received from the authors.The S1 File(ZIP)Click here for additional data file."}
+{"text": "Background: A large healthcare system in Georgia implemented an enhanced electronic infection surveillance system that is incorporated into the electronic medical record (EMR). Prior to the implementation of this electronic infection surveillance system, the infection prevention (IP) team performed healthcare-associated infection (HAI) surveillance through a locally created system that did not interface with their EMR. Each HAI identified undergoes a robust analysis for opportunities depending on the infection type by manual abstraction from the EMR, which is stored in a spreadsheet. One disadvantage of this spreadsheet is that only 1 person can enter data at a time. The coronavirus disease 2019 (COVID-19) pandemic has presented many challenges for healthcare facilities including shifting resources from HAI prevention programs. These programs include the investigations performed to identify risk factors that can aid in preventing future infections. Due to the necessity to increase efficiency in the current pandemic, the IP team proposed using technology to automate our HAI investigation process. Method: The IP team and the business intelligence (BI) team met to determine whether data completed in the electronic infection surveillance system could flow into an interactive data visualization software that is currently used for other HAI prevention dashboards. The existing spreadsheet was reviewed to select variables essential for HAI investigations and for which the data existed in the EMR. The BI team worked to find the correct data tables within the EMR so that the data could automatically refresh daily in the data visualization software. Result: The BI team was able to correctly identify variables used in the previously manual HAI investigation process within the EMR to interface with the data visualization software. This automation of investigations allows quick analysis of trends and areas of opportunity to prevent future HAIs. Conclusion: This utilization of technology can be applied to other healthcare facilities with similar software systems to streamline IP workflows. The automation of quickly and efficiently recognizing areas of opportunity allows IPs more time to facilitate the prevention of HAIs in other ways.Funding: NoDisclosures: None"}
+{"text": "The last decade has seen a remarkable resurgence of interest in psychedelic drugs such as psilocybin (from magic mushrooms) LSD and DMT (dimethyl tryptamine \u2013 the active ingredient of ayahuasca). This has been driven by the discovery that these psychedelics all act agonists of 5-HT2A receptors. Human imaging studies have revealed this action leads to profound alterations in brain measures of activity particularly in terms of increased entropy of EEG MEG and fMRI signals and reduced within-network, but increased between-network, connectivity. In addition they all can increase synaptic growth and brain plasticity. These findings not only explain the subjective nature of the psychedelic experience but also have implications for the treatment of internalising disorders such as depression addiction anorexia and OCD that are characterised by increased within network connectivity especially of the default mode network. Subsequent trials, particularly of psilocybin, in these disorders has revealed significant clinical benefits from even just a single administration. A number of companies have now been set up to extend these discoveries with regulatory-level trials that could result in market authorisations within a few years. My talk will explore these brain mechanisms and clinical data and discuss the potential place of psychedelic medicine in the future of psychiatry.I am an advisor to Compass pathways and Beckley Psytec two companies that are developing psychedelics for depression and other psychiatric indications. Several members of my research group receive support from these companies and also from Small Pharma."}
+{"text": "Although the primary goal of self-directed programs providing long term services and supports (LTSS) is to maximize choice and control for service recipients, such programs may also benefit family caregivers by compensating them for providing supportive services. This study draws on qualitative data from research supporting the RAISE Family Caregiver Advisory Council, finding that family caregivers themselves see the expansion of self-directed programs as a policy priority due to their need for financial security. The request for compensation was the strongest finding, with respondents highlighting the incompatibility of work with caregiving and their inability to rely on the existing paid workforce due to supply and quality issues; the consequences of this loss of earned income were reported as severe. Ultimately, respondents saw payment for providing care as an issue of fairness. This evidence supports the policy case for expanding access to self-directed programs that permit the employment of family caregivers."}
+{"text": "Frontiers in Psychology on Environmental, Social, and Corporate Governance (ESG) and Sustainability. After a thorough blind review procedure, we are pleased to announce that 19 articles have been selected for publication in the Research Topic. We believe that all of these articles address important aspects of ESG in this Research Topic according to the background detailed below.Welcome to this Research Topic of We are currently witnessing dramatic changes in the business environment when they recall altruistic anxieties associated with COVID-19. Considering ESG also mediated the moderating effects. By introducing the nature of COVID-19 fears as a critical factor, this study made a worthwhile contribution to the literature on pro-environmental behavior.The fifth paper by Lee and Jeong confirmed that the compatibility and authenticity of social responsibility activities affect a firm's brand trust, thereby improving corporate sustainability management. The results of this study provided strategic implications for the performance of social responsibility activities necessary for the continuous growth of firms and for building brand trust.The sixth paper by Qing and Jin investigated whether CSR can affect sustainability through the economic and social performance of social enterprises (SEs). It also attempted to verify the moderating role of innovativeness in the relationship between CSR and SE performance. The results suggest that, while CSR can improve sustainability through economic and social performance, innovativeness has no moderating effect on the relationship between CSR and SE performance.The seventh paper by Bae et al. presented a new theoretical perspective on the relationship between the strength of environmental regulations and foreign direct investment (FDI), which is currently attracting increased scholarly attention. We argue through this new perspective that we should observe the strength of environmental regulations, which has been overlooked by previous literature, and the distance between countries in the FDI relationship. This will make it possible to obtain fresh insights and new ideas regarding the relationship described above.The eighth paper by Wang and Liu addressed two important research questions: \u201chow may various types of green innovation strategies matter in explaining the variation of firm performance?\u201d and \u201chow may various types of green innovation strategies interact with supply chain risks in illustrating firm performance variation?\u201d Using primary data collected from a sample of 337 firms in China, the study uncovered that the effects of green innovation strategies were statistically significant in elucidating the heterogeneity of firm performance, and their interactions with supply chain risks were also noteworthy and economically important.The ninth paper by Wang and Teng was motivated to address two major research questions: \u201cwhat contributes to the development of supply chain management (SCM) capability?\u201d and \u201chow does SCM capability matter in explaining the environmental performance variation of firms operating in large emerging economies?\u201d Using survey data collected from 272 firms in China, the study discovers that specific forms of digital innovation play a positive role in driving the development of SCM capability. The results of the empirical analyses provide further supportive evidence indicating that SCM capability functions as an important role by either partially or fully mediating the relations between the effect of digital innovation and firm environmental performance.The tenth paper by Yang and Yang examined the association between dynamic capabilities (DCs) and corporate performance in ESG management. This empirical study tested this as an alternative method using topic modeling with Word2Vec. The findings imply that DCs can enhance corporate performance under uncertainty and pursue a balanced way of sensing-seizing-recofiguring capabilities through ESG management.The eleventh paper by Son and Kim attempted to examine the relationship between ESG management and financial performance and the role of socially responsible investment by the National Pension Fund (NPF), Korea's largest institutional investor. Their primary discoveries are that Korean firms with good financial performance actively participate in ESG. NPF has a propensity to invest in firms with high financial and ESG performance.The twelfth paper by Lee and Yang investigated the impact of CSR performance feedback on future CSR performance to answer the following research questions: First, how does positive CSR performance feedback affect future CSR performance? Second, how does negative CSR performance influence future CSR performance? By performing generalized least squares (GLS) regression analysis based on Korean company data from 2012 to 2019, their empirical findings document that positive social and historical performance feedback positively affected CSR performance.The thirteenth paper by Liang et al. explored the role of DCs for ESG strategies as well as sustainable management performance. A research model was established by using DC theory, thereby integrating sustainable management and ESG literature. According to the results of their statistical analyses, both absorptive capability and adaptive capability have considerable effects on sustainable management performance through implementation of the ESG strategy as a mediating factor.The fourteenth paper by Wu and Kuang began with its anticipation that key subordinate executives would play a role linking superiors and subordinates within the top management team (TMT). Based on their recognition of the heterogeneity of TMT preference, data from Chinese listed firms from 2010 to 2019 were used. Their empirical results exhibited a positive relationship between key sub-level executives' governance and accounting conservatism. They also indicated that CEO overconfidence could positively modulate this relationship.The fifteenth paper by Li and Qamruzzaman examined the nexus of tourism-driven sustainable human capital development (HCD) in emerging economies from 1984 to 2019. In this process, they observed a statistically substantial and long-lasting favorable correlation between tourism and HCD.The sixteenth paper by Park and Oh identified the different types of information used by investors to make investment decisions based on the UTAUT (Unified Theory of Acceptance and Use of Technology) model. This paper figures out how ESG information affects the decisions of individual investors regarding investments and the factors that affect such behaviors.The seventeenth paper by Park et al. used text scraped from Twitter. It polished the data to identify trends in ESG themes and their sentimental value over time. This paper informs us how the general public feels about ESG through sentiment analysis.The eighteenth paper by Lee et al. addressed that ESG at the host country level significantly impacts the implementation of clean development mechanisms (CDM). Moreover, the results of zero-expansion Poisson regression extended the ESG pillar based on institutional theory and emphasized the importance of sustainable development.The nineteenth paper by As a final remark, the guest editors would like to thank all the reviewers and all those who submitted papers to this Research Topic. The editor-in-chief of Frontiers in Psychology, Axel Cleeremans, also deserves special gratitude. We are incredibly appreciative of the participants' kindness and efforts, both of which have made this special edition possible.All authors listed have made a substantial, direct, and intellectual contribution to the work and approved it for publication.This work was supported by the Soonchunhyang University Research Fund.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest.All claims expressed in this article are solely those of the authors and do not necessarily represent those of their affiliated organizations, or those of the publisher, the editors and the reviewers. Any product that may be evaluated in this article, or claim that may be made by its manufacturer, is not guaranteed or endorsed by the publisher."}
+{"text": "Pharmaceutical treatment and psychotherapy constitute the most common treatment methods for depression and anxiety. Physical training has been shown to have comparable effect to cognitive behavioral therapy in treatment of mild to moderate depression and anxiety. Physically active individuals also show lower risks to develop depression and relapse in depression.The objectives are to evaluate how physical activity can affect depressive and anxiety symptoms, by examining biomarkers in the blood and from the gut and also by measuring cognitive functions. Hopefully, this can lead to new treatment strategies for patients with depression and anxiety.102 patients are randomized to two groups and undergo 12 weeks intervention as add-on to standard outpatient psychiatric treatment. The first group will participate in physical training three times per week and the other group will receive relaxation therapy on a weekly basis. Daily activity intensity will be measured before and at the last week of intervention with an accelerometer. Blood and faeces sample collection, symptom grading by clinician together with self-rating scales and cognitive screening will be performed at baseline, week 12 and one year of follow-up. The cognitive screenings are performed digitally in cooperation with Mindmore.The RCT is currently recruiting patients at the Department of Psychiatry of \u00d6rebro University Hospital.The project aims to be holistic in its approach, combining the defining clinical psychiatric symptoms in patients who have both depression and anxiety with the finding and evaluation of new biomarkers from blood and gut to improve cognitive functions.No significant relationships."}
+{"text": "Ageing world populations and increases in life expectancy have facilitated an interest in developing ageing models that promote inclusivity and positive perceptions of ageing. This scoping review examines how and to what extent research that utilizes successful, active, productive, and healthy ageing framework(s) include death or dying. The study followed Joanna Briggs Institute\u2019s methodological standard for scoping reviews and PRISMA guidelines and conformed to Arskey and O\u2019Malley\u2019s five-stage framework. A thematic analysis was used to identify how research utilizes the concepts of death and dying in the context of positive ageing models. The analysis identified five core themes: (a) the critique that death and dying dimensions in positive ageing models are absent; (b) older adults\u2019 outlooks on death and dying while ageing well; (c) religious and spiritual dimensions of ageing well; (d) negative consequences of positive ageing models without death and dying dimensions; and (e) the future of death and dying in positive ageing models. The results bolster support for a paradigm shift that redefines what it means to age successfully without denying death. Incorporating the topics of death and dying into ageing conversations encourages individuals to ponder their end-of-life preferences and proactively participate in their advanced care plans. Death and dying conversations help care providers support people to live and die in a manner that is meaningful to them and inspire those receiving care to live fully and deeply and to think about the legacy that they want to leave."}
+{"text": "Under the skin is an intricately woven tale of Professor Alex Anstey's career as a junior doctor then general practitioner and ultimately academic dermatologist working in the NHS. Personal memoirs are punctuated by amusing clinical vignettes, key moments in recent British political history and chapters devoted to heroes in health care. These influential and inspirational men and women range from military nurses to the founding father of evidence\u2010based medicine to pioneering Oxford Regius Professors and giants of medical education. These heroes have been well researched, and the quirky details the author has uncovered will delight readers.The book provides valuable insights into the history, the machinations and struggles of the NHS both in the early days and during the pandemic. Anstey details his inspiration and journey to improve clinical efficiency in his corner of Wales. In 2000, his efforts ultimately led the Gwent Healthcare NHS trust in winning the UK Dermatology Team of the Year. The foundation of repairing a strained hospital system he details is based on consultation with all team members and connecting with the local GPs through personal interactions, education, triage and telehealth. This is a thoughtful book on how health services run and how clinicians must be in tune with both their support team and their managers, with lessons applicable beyond dermatology.Other chapters are devoted to academia, research, scientific journal stewardship and politics. Contemporary themes of teledermatology (even more relevant post\u2010COVID\u201019) and patient partnership or empowerment are discussed. The charming Welsh personalities and stories only augment the tale. I enjoyed this beautifully written book very much and would recommend it to not only dermatologists but all healthcare workers with an interest in hospitals and health management. If you have worked in the NHS or aspire to building a better team, equally this is essential reading.No conflict of interest to declare."}
+{"text": "Autism is a neurodevelopmental disorder that is considered more common in males; however, ascertainment estimates of ASD in the UK population suggest a significant proportion of female cases of ASD go unrecognised and undiagnosed. This review examines whether the apparent underdiagnosis of girls may be attributed to gender sampling bias in the validation of diagnostic instruments routinely used to diagnose autism.To compare the gender ratio in validation samples of commonly used diagnostic tools for autism to estimates of the gender distribution of children with autism in the UK populationA review of diagnostic tool manuals and a targeted literature search identified the gender of sample participants used to validate tools used by Scottish ASD services. Analysis of validation samples compared the mean percentage of female participants with ASD to estimates of the proportion of girls with ASD in the UK population.Data on 7 tools was extracted. The mean percentage of female sample participants with ASD was significantly lower than the ascertainment estimate of females with ASD in the UK population =-3.67) and significantly lower than the mean percentage of females in comparison groups =-3.06).There is low representation of females in validity samples of tools, which may reduce their sensitivity to the female phenotype and contribute to diagnostic disparities. Future research is warranted on why instruments are poorer detectors of ASD in girls and how female features of ASD could be better represented in their structure."}
+{"text": "RCP is defined as the \u2019ratio of the activity of a radionuclide in a stated chemical species in a material over the total activity of all species containing that radionuclide in this material\u2019 and/or Instant Thin-layer Chromatography (ITLC) under the same experimental conditions for cross validation . The rules of Good Radiopharmacy Practice (GRP) dictate that RCP of an injectable radiopharmaceutical The paucity of purified actinium materials combined with the lack of stable isotopes and measurable spectroscopic properties for this element has prevented the isolation and structural investigation of authentic samples of its coordination compounds and made it arduous to determine their chromatographic properties (Deblonde et al."}
+{"text": "The last decade has witnessed huge technological advances in genomics, particularly in DNA sequencing. Here, we review the actual and potential application of genomics in supporting in situ conservation of crop wild relatives (CWRs). In addition to helping in prioritization of protection of CWR taxa and in situ conservation sites, genome analysis is allowing the identification of novel alleles that need to be prioritized for conservation. Genomics is enabling the identification of potential sources of important adaptive traits that can guide the establishment or enrichment of in situ genetic reserves. Genomic tools also have the potential for developing a robust framework for monitoring and reporting genome\u2010based indicators of genetic diversity changes associated with factors such as land use or climate change. These tools have been demonstrated to have an important role in managing the conservation of populations, supporting sustainable access and utilization of CWR diversity, enhancing accelerated domestication of new crops and forensic genomics thus preventing misappropriation of genetic resources. Despite this great potential, many policy makers and conservation managers have failed to recognize and appreciate the need to accelerate the application of genomics to support the conservation and management of biodiversity in CWRs to underpin global food security. Funding and inadequate genomic expertise among conservation practitioners also remain major hindrances to the widespread application of genomics in conservation. It is estimated that there are about 50,000\u201360,000 CWR species globally, out of which 700 need to be prioritized for conservation and its CWRS, thus resolving the gene pool classification in this genus which has remained inconsistent and contradictory was developed with the aim of providing a globally coordinated and harmonized system of biodiversity monitoring Walp landraces and wild relatives has provided insights on the crops domestication suggesting a divergent domestication process which is a perennial CWR of wheat (Zs\u00f6g\u00f6n et al., Domestication marks a major deliberate effort of promoting the use of wild plants by manipulating their genetic and phenotypic traits in order to suit the needs of human kind. Genomics presents tools, resources and knowledge to accelerate domestication of new species thus potentially enhancing food and nutritional security (Brozynska et al., 9.2Provisions that allow utilization of in situ CWR genetic diversity should be tempered with appropriate laws and regulations that prohibit illegal harvesting and over\u2010exploitation that could threaten the survival of the CWRs. Such regulatory frameworks should have sufficient and enforceable safeguards that helps prevent bio\u2010piracy. Molecular analysis is aiding law enforcement and regulatory authorities in detecting cases of illegal harvesting and trade of wild populations (Aubriot et al., It has been argued by Wambugu et al. that adv9.3Solanum demissum Lindl and stem rust from wild wheat Aegilops tauschii Coss into the respective cultivated gene pool (Prescott\u2010Allen & Prescott\u2010Allen, Climate change currently poses the single largest threat to world agriculture and global food security. Although CWR populations are facing immense threats in the wild due to climate change, those populations that will successfully withstand these threats will be a useful source of genes for breeding for increased climate resilience. Genomics is providing tools to dissect the genetic basis of important traits and understand the functional trait diversity that is available in CWRS. Information on candidate genes and trait associated genetic markers is important in accelerating the use of CWRs in breeding programmes. The use of CWRs in crop improvement is particularly important in crops where genetic gain has been low as a result of inadequate variation in the domesticated gene pool for key target traits. Genomic data has enabled identification of regions that have lost important genetic diversity during the domestication process (Wang et al., 10One of the major challenges facing in situ conservation is that the majority of CWRs are poorly studied and may not have a lot of genomic information and resources which may be required to guide conservation management. For species with limited genomic information, there have been considerable advances in genomic technologies allowing genome wide marker discovery, even for poorly studied taxa. Genotyping by sequencing is a powerful marker technology which is suitable for species with no reference genome sequence (Elshire et al., The cost, computational requirements and necessary bioinformatic expertise for deploying genomics is high and may be beyond the reach of most conservation practitioners thus hindering its real world application (Flanagan et al., In future, genome editing might offer an opportunity to support PGR conservation by introducing novel alleles that confer adaptive capacity against climate change as well as removing deleterious ones that reduce fitness (Breed et al., The authors declare no conflict of interest.Peterson W. Wambugu wrote the first draft. Both authors contributed to the editing of the manuscript."}
+{"text": "This study uses data from the 2017-2018 National Health and Aging Trends Study and the 2017 National Study of Caregiving to examine whether caregiving network configuration factors and caregiver supports are associated with consequences of unmet needs among older adults. Findings from this study will provide greater understanding of how caregiving contexts shape the quality of care and health of older adults who rely on help from family caregivers."}
+{"text": "Youth radicalization is an ongoing and growing challenge worldwide , 2. AdolRadicalization Among Adolescents authors from various countries address this issue and illustrate how youth are disproportionately represented in radicalized networks across different continents. Now more than ever it is essential scholars and policymakers attempt to better understand the underlying mechanisms and factors driving youth radicalization and formulate effective policies and interventions. In addition to addressing this priority, this Research Topic also considers the role that psychopathological factors play in individual processes of youth radicalization and examines how young people who hold extremist views and experience psychological vulnerabilities, can be best supported by professionals.In the Frontiers for Psychiatry Research Topic: Miconi et al.); to social networks and psychological manipulation , mental health and trauma , and psychopathology . Several papers show that that the relationship between psychopathology and violent extremism is not straightforward or one-dimensional and that it interacts with other factors. One of several articles by French scholars illustrate that psychological trauma can create vulnerabilities to radicalization amongst youth. In such cases treatments targeting psychological trauma may be one way to prevent violent radicalization.A number of articles in this Research Topic, explore various underlying mechanisms of youth radicalization ranging from the influence of personal uncertainly and negative outlooks about life . This can increase the risk of biased and incorrect interpretations of what places youth at risk of radicalization. Prevailing public and political assumptions about the causes and manifestations of violent extremism can reinforce particular viewpoints and lead to inappropriate counseling and treatment options for radicalized youth across different ideological spectrums. How best to intervene with radicalized youth is a developing field of knowledge and experience is in its infancy. As Australian experience highlights, pluralistic, non-punitive multidisciplinary approaches can be used to address various developmental and psychosocial vulnerabilities, in addition to violent extremist risk factors amongst young offenders (Barracosa and March). These approaches should be supplemented by youth-specific practitioner expertise, and a range of violent extremism case management and risk assessment measures. In another paper by French scholars, the authors conclude that professionals must consider individual risk factors and vulnerabilities, but also need to tap into existing strengths, resilience and coping strategies that youth at risk of radicalization can possess and implement forms of psychotherapeutic support for this group .Among practitioners there can be a lack of specialist knowledge with regards to psychopathology and extremism among young people. A demonstrated by a Dutch paper such knowledge and expertise is not always available and all raise important questions about youth radicalize and what can be done about it. This includes whether young people involved in violent extremism differ in their risks and vulnerabilities compared to adults who have radicalized or other \u201cordinary\u201d delinquents? Does this therefore require different forms of tailored treatment? Findings from papers in this Research Topic are derived from cohort studies and individual case studies and all draw attention to overlapping and divergent factors and processes. While the evaluation of youth specific deradicalization programs is lacking [, BarracoAll authors listed have made a substantial, direct, and intellectual contribution to the work and approved it for publication.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest.All claims expressed in this article are solely those of the authors and do not necessarily represent those of their affiliated organizations, or those of the publisher, the editors and the reviewers. Any product that may be evaluated in this article, or claim that may be made by its manufacturer, is not guaranteed or endorsed by the publisher."}
+{"text": "To gain an understanding of the attribution of patients to newly introduced Ontario Health Teams (OHT). OHTs are responsible for organizing and delivering health local care based on established connections between patients, their primary care providers, and hospitals. Furthermore, we aim to identify areas with poor geographic access to care.We used GIS analyses and maps to depict the attribution of patients to OHTs based on their uptake of primary care and hospital referral patterns. Residents of a specific local area can be attributed to different OHTs based on their prevailing health seeking choices. This leads to a creation of non-unique OHT \u2018capture zones\u2019, which may pose challenges in primary health care planning and delivery.The range of spatial analyses and maps used in this study helps to overcome some of these limitations and provides healthcare administrators with important geographic layer of information not available through other data summary methods.We used GIS analyses and maps to depict the attribution of patients to OHTs based on their uptake of primary care and hospital referral patterns. Residents of a specific local area can be attributed to different OHTs based on their prevailing health seeking choices. This leads to a creation of non-unique OHT \u2018capture zones\u2019, which may pose challenges in primary health care planning and delivery.The range of spatial analyses and maps used in this study helps to overcome some of these limitations and provides healthcare administrators with important geographic layer of information not available through other data summary methods.These attribution maps and data tables are an essential resource for planners and decisions makers in identifying priorities within the regional provision of primary care. This knowledge is essential to a better understanding of health care needs of local populations, and to implementing improvements in health care access."}
+{"text": "Joy in Motion is a nationwide physical activity and well-being programme aimed at early childhood education and care (ECEC) launched in 2015 in Finland. The aim is to enable every child to be physically active and enjoy physical activity every day. Latest updates of the Finnish recommendations for physical activity in early childhood was published in 2016. The key message in the recommendations is Joy, play and doing together. Daily physical activity is just as important for children's well-being as healthy nutrition and sufficient sleep and rest. Presentations discuss the current state of the programme with more than 2200 registered early education units and provides concrete examples of the promotion work in practice."}
+{"text": "The authors regret that the author contributions were incorrect in the original article. Two co-first authors were originally indicated, however Fangfang Zhao should be the only first author as indicated here.The Royal Society of Chemistry apologises for these errors and any consequent inconvenience to authors and readers."}
+{"text": "This paper outlines a mixed methods research study conducted at three independent boarding schools that all focus on sport and physical activity. In total independent boarding schools attracts more than 30.000 students per year, which makes it a very popular choice for young people. Interestingly, this particular type of schools have not been researched much.This study aims to provide an insight into the special qualities of Danish independent boarding schools and explore how a focus on sport and physical activity in relation to personal development of young people plays a role at three of these schools.The analyses are based on an online survey distributed to 1020 students at the participating schools in March 2019. In total, 865 students answered the survey. The purpose of the survey was to collect quantitative data on background issues, the students' motives for choosing independent boarding school life and to gain an insight into what the students' perceived as the special qualities of living on such a school - typically for one year. The quantitative findings are enriched by empirical findings and conclusions from qualitative data generated via six MSc theses.The survey results show that students to a great extent choose an independent boarding school based on the sports program (73%), facilities (69%) and sport performance levels (51%). The students point out getting new friends (92%), being a part of a community (92%), learning to collaborate (91%) and solving conflicts (88%) as some of the special qualities of life at independent boarding schools. The qualitative analyses reveals that sense of community, social interaction with fellow students and the relationship between teachers and students are perceived as the main qualities of this type of school life. Furthermore, the analyses points out that sport and physical activity can both hinder and promote qualities as the ones mentioned.The study contributes to new and important insights into a popular and unique type of school in Denmark, but more research is undoubtedly needed."}
+{"text": "The corrected images for Figure The authors regret that the original version of our paper, unfortunately, contained incorrect pictures in Figure The correction made in this erratum does not affect the original data and conclusions. The authors apologize for any inconvenience that the errors may have caused."}
+{"text": "Health systems are the central part of infrastructure in societies and their smooth operation is important for the continuation of a wide range of critical operations in any country. The COVID-19 pandemic has actualised questions on health system resilience defined as the system's ability to prepare for, manage and learn from external shocks.. However, economic recessions as well as long- and short-term stresses related to aging, climate change and migration, and most recently a war have underlined that also in Europe the governments need to prepare their health systems to face different types of threats in order to guarantee effective protection to population health in their countries. The importance of the task to strengthen health system resilience has been comprehended at national and international level. International actors including WHO, OECD and World Bank have designed policy advice on strengthening health systems against external shocks, the European Union has launched programmes for preparing for future health emergencies, and individual countries are designing policy and system reforms allowing for health crises. In the workshop we address policies to strengthen health system resilience drawing on the experiences in three countries: Ireland which entered the COVID-19 pandemic with a legacy of the recent economic crisis hitting hard health care financing, Finland which has been implementing a major health care reform concomitantly with the pandemic, and Denmark which offers a case study on organisational learning from the pandemic within the hospital sector and chronic patient care. Based on these three case studies the workshop also contemplates whether learning from shocks is always helpful in terms of system transformation or whether they can also create path dependencies that weaken the systems\u2019 ability to prepare for unknown threats. The workshop will broaden the view by discussing the trends of health system reforms in European countries and considering international advice on system and policy reforms to strengthen health system resilience.\u2022\u2002Shocks create opportunities for reform and better performance and challenges through overloaded systems and fast decision-making.\u2022\u2002Assuming all shocks are like the last weakens preparedness and adaptability."}
+{"text": "There are development and advancement on concepts and methods for applications in neurorobotics that are continually achieved and published. This Research Topic provides a mini collection of up-to-date technologies and methods which address challenges and tackle limitations in neurorobotics. Those technologies and methods collected in this Research Topic involve various applications in neurorobotics ranging from human machine interface, rehabilitation, and treatment.Assessment methodology for human-exoskeleton interactions: Kinetic analysis based on muscle activation . A new assessment protocol on human-exoskeleton interaction that requires a fewer number of instruments and leads to an easier process was proposed.Kinetic parameters and effects associated with the interaction between human and exoskeleton based on electromyogram (EMG) and muscular activities were evaluated in Influence of proprioceptive training based on ankle-foot robot on improving lower limbs function in patients after a stroke . The experimental results suggest that the motor function and walking ability in patients after a stroke can be effectively improved from the proprioceptive training based on an ankle-foot robot.The influence of proprioceptive training on lower limb function in patients after a stroke was examined and presented in ClueDepth Grasp: Leveraging positional clues of depth for completing depth of transparent objects , a deep learning technique was developed for improving a perception on transparent objects for machines and robots. The better accuracy and successful employment of a humanoid robot grasping were achieved. The ClearGrasp dataset that is a set of images of transparent objects is made publicly available at https://sites.google.com/view/~cleargrasp/data?authuser=0.In Blind detection of circular image rotation angle based on Ensemble Transfer Regression and fused HOG is another work that develops a deep neural networks model for improving a perception of machines and robots. The improved performance on accuracy of rotation angle estimation can be achieved using the ensemble transfer learning regression networks model.The comparison of electroencephalography power and event related potential in success and failure during multitask game . A significant difference in EEG power associated with a theta band (4\u20137 Hz) was evidenced. This finding thus implies that the theta power of EEG acquired from the frontal area of the brain can be applied for predicting the success or failure of the Go trial.A video game has been adopted as a part of treatment for children with attention-deficit hyperactivity disorder (ADHD). The brain activity of subjects during playing and interacting with a multitask game in virtual reality (VR) was focused in The author confirms being the sole contributor of this work and has approved it for publication."}
+{"text": "Most of the lectures and workshops were offered via the Microsoft Teams platform. Student presentations were delivered virtually as well. Due to social distancing requirements, practical junior peer teaching opportunities were not available. We were surprised to observe high levels of enrolment during the virtual offering of the elective, with no decline in participant numbers.,,,Previous studies have evaluated the perceptions and experiences of student participants of similar teaching electives offered at institutions across North America.Future studies will be needed to examine the impact of the elective offered in the virtual format during the COVID 19 pandemic \u2013 and a shift in focus from observing and evaluating bedside and physical examination skills to evaluating virtual didactic presentations. Presently, 50% of medical schools in the United States (and only our institution in Canada) offer a dedicated fourth-year medical school elective in clinical teaching.The authors declare that they have no conflict of interest."}
+{"text": "Assessing the performance of health systems is essential to initiate policy processes that further strengthen health systems to improve population health. Starting with WHO's World Health Report of 2000, Health System Performance Assessments (HSPA) gained increasing attention in research and policy. By now, several comparative HSPA initiatives of international organisations and country specific HSPA were implemented in Europe. Further countries are currently in the process of developing or piloting an HSPA . The objective of the workshop is to foster and strengthen the interchange of different HSPA initiatives in Europe and beyond. While each health system has its specifics, initiatives likely face similar challenges in the implementation and ongoing development, which holds a lot of potential for learning from each other. The workshop is supposed to be a platform for the exchange of and about HSPA initiatives and related topics by bringing together stakeholders of different countries and professions. Participants are supposed to gain new insights into recent activities in Europe and will be able to discuss challenges and lessons learned. The presentations give insights into recent activities of selected HSPA initiatives in Europe. One presentation originates from the Belgian HSPA which is well established. This presentation will focus on the transversal dimension of equity, on which a separate report was recently published. The second presentation is about the German HSPA which is still in development and currently tested in a pilot study. Both presentations represent HSPA initiatives at different stages, which provides a good basis for the following panel and discussion with all workshop participants. The two presentations of about 20 minutes each will be combined with a panel discussion. Afterwards, there will be room for exchange and discussions between all participants and presenters.\u2022\u2002Recent developments of HSPA initiatives in Europe will be presented along two examples from Belgium and Germany and lessons learned and challenges will be discussed.\u2022\u2002The workshop provides a platform for the exchange of and about HSPA initiatives and related topics by bringing together stakeholders of different countries and professions."}
+{"text": "Over time the prevalence of methamphetamine associated psychosis (MAP) has increased globally including Asia and Europe. Shoptaw et al looked at an RCT and concluded that olanzapine is superior to haloperidol in terms of tolerability and the side effect profile as it causes fewer extrapyramidal symptoms. Another study by Xue et al compared the efficacy of olanzapine and haloperidol and found that they had comparable effects but the onset time in the olanzapine group was significantly earlier than the haloperidol group. Srisurapanont et al analyzed 6 RCTs and concluded that quetiapine and olanzapine are probably superior than aripiprazole and risperidone.The purpose of this review is to find out if olanzapine is better than other antipsychotics in treating methamphetamine-induced psychosis.PubMed, SCOPUS, and Web of Science literature databases were screened and filtered by using specific search terms, inclusion/exclusion criteria. Texts of the selected articles and trials were reviewed and the search terms generated a total of 248 results from the databases. After applying the criteria 200 citations were left and 15 papers were reviewed.The literature review concluded that olanzapine can be used as an effective treatment for methamphetamine-induced psychosis. Olanzapine can help to reduce the psychotic symptoms in MAP with a quicker onset and lesser side effects.Olanzapine can help in the treatment of methamphetamine-associated psychosis and can be considered as the first-line therapy. Research is further needed with a higher pool of candidates in the future to compare the efficacy and tolerability of different typical and atypical antipsychotics.No significant relationships."}
+{"text": "Dementia is a progressive, irreversible neurological disorder that causes changes in cognitive function and behaviour. While at least 5% of people who develop dementia every year are under the age of 65, dementia in the workplace is currently not well recognised or supported. The changes associated with dementia present multiple challenges for individuals who wish to continue with their employment. Many lose their positions before receiving a diagnosis, whilst others take sick or disability leave or early retirement. The process of understanding what is happening and coping with this new situation is highly individualistic and involves several transitions. The MCI@work project is an international initiative taking place in Canada, Finland, and Sweden where we examine these transitions through the personal narratives of individuals who have either currently or recently gone through the experience of developing dementia whilst in the workforce. From these data, we have developed a framework for understanding the transitions experienced by people who develop dementia whilst in the workforce. The aim is to assist individuals and their employers to better understand the needs of people living and working dementia as well as engage in appropriate actions that support choices and dignified transitions either within the context of employment or out of the workforce."}
+{"text": "This document is written on behalf of the two professional bodies in the United Kingdom that represent genetic counsellors (the Association of Genetic Nurses and Counsellors) and clinical geneticists and aims to support multidisciplinary working of these professional groups highlighting within a quick-reference format, areas of shared practice and the distinctions between role profiles for a Consultant Clinical Geneticist, Principal/Consultant Genetic Counsellor and the new support role that we have termed \u2018Genomic Associate\u2019, see AGNC career structure . This bu In the United Kingdom clinical geneticists are medically qualified Members/Fellows of the Royal College Physicians or equivalent, where Clinical Genetics is an affiliated medical specialty. Genomic or genetic counsellors are allied health professionals with Masters level accreditation from the Genetic Counsellor Registration Board included in the Academy for Healthcare Science register and clinical scientists accredited by the Health and Care Professions Council.We acknowledge there is currently variability in these roles between NHS trusts and exceptions where the scope of practice for one professional group exceeds what is provided below in Fig.\u00a0In Fig."}
+{"text": "The Sage Resource Project\u2019s goal was to prepare researchers to use the Sage Resources to create Sage Model boards in order to continue to expand and amplify the voice of older adults in aging PCOR/CER research. Training researchers is essential to amplify the voice of older adults in research. This project culminated in the creation of a training manual as well as critical lessons learned for the advancement of engaged research with older adults receiving Long Term Services and Supports (LTSS). After developing a series of webinars for national dissemination, 5 research centers were identified as potential sites for intensive and tailored training on The Sage Model and, ultimately, two research centers completed the training with quite different approaches and results. This session will review the training that was developed as well as the lessons learned from training researchers on creating research advisory boards with older adults."}
+{"text": "The COVID-19 pandemic has exposed Public Health system weaknesses due to chronic underinvestment in Public Health. In this context, Essential Public Health Functions (EPHFs) have been revitalized as an integrated, cost effective and sustainable approach to operationalising Public Health. The World Health Organization's recent position paper on building health systems resilience towards universal health coverage and health security recommended investing in EPHFs as a key mean for countries\u2019 health systems recovery and transformation during COVID-19 and beyond. There is a need for conceptual and operational clarity of EPHFs to support countries to build back better, fairer and more resilient health systems.A rapid review of peer-reviewed and grey literature regarding the EPHFs was conducted to identify different actors\u2019 understandings of EPHFs and key lessons of applying the EPHFs at the global, regional and national levels, in order to identify the added value and key enablers to operationalising EPHFs. A crosswalk analysis of different authoritative lists of EPHFs was conducted to develop a common list of EPHFs as a reference for countries in response to Public Health challenges.A consolidated list of 12 EPHFs derived from the crosswalk analysis of different authoritative lists is presented, underpinning the consideration of health systems components and pressing health challenges. Six key enablers are identified from evidence and experience. These enablers are fundamental for countries to build holistic and strong Public Health capacities.The EPHFs provide a clear and integrated framing to operationalise Public Health in countries that can be adapted to country contexts to build resilience. Health authorities and other Public Health stakeholders must seize the opportunity brought by COVID-19 recovery to continue advocating for and strengthening Public Health as a priority in health systems\u2019 reconstruction and reform."}
+{"text": "It is now widely accepted that most microorganisms live within communities and not as single cells. The interaction between species within the community drives the behaviour of the population and its adaptation to various ecosystems and hosts. This relatively recent concept has triggered the emergence of a whole research field in Microbiology aiming at understanding the structure and organisation of bacterial biofilms combined with the detail of microbiome composition and evolution. Researchers also joined forces in what is a multidisciplinary field of investigation calling for knowledge from basic microbiology to surface chemistry and all the way to advanced omics and microscopy methodologies. The National Biofilms Innovation Centre was launched in 2017 to address the impact of biofilms on global challenges from antimicrobial resistance and food safety to water security by bringing together UK research and businesses to drive the translation of biofilm research into innovative solutions. Since its creation, NBIC has built a national partnership with 63 UK research institutions and more than 250 companies and an international partnership with biofilms centres across the world including the Centre for Biofilm Engineering (CBE) in the United States (Montana) and the Singapore Centre for Environmental Life Sciences Engineering (SCELSE).npj Biofilms and Microbiomes has been created to review the impact of biofilm across sectors, illustrate some translational research on biofilm carried out by NBIC partners and highlight key issues on the successful translation of biofilm research. The collection addresses the four interventional pillars of NBIC: prevent, detect, manage and engineer.This special collection in 1, with biofilms being central to some of the most important global challenges. Addressing these challenges through the above interventional pillars opens endless opportunities for growth by harnessing and controlling the biological activities of complex biofilms.Biofilms have an economic impact of 5Tn USD ($) per year across multiple sectors, as detailed in perspective by Camara et al.Prevent theme focuses on the prevention of early stage microbial adhesion and colonisation events at surfaces and interfaces and curtailing the development and maturation of early stage biofilms. The two main approaches used to prevent biofilm formation are through early microbial killing or preventing the establishment of the biofilm in the first place. This collection shows two examples of these approaches. The work from Barbieri et al.2 uses a simple way to functionalise a common silicon-based polymer utilised in biomedical and industrial applications for the slow release of antimicrobials already approved for human use. This modified polymer can drastically reduce the ability of bacteria to colonise these surfaces providing a scalable new alternative for the functionalisation of catheters, dressings and in-dwelling medical devices to existing strategies, such as the in situ generation of silver nanoparticles3. In another study, Pentland et al.4 show that C. albicans uses CO2 found in the host environment to promote its ability to colonise and compete for nutrients. These findings reveal that the design of therapeutic interventions targeting CO2 utilisation could be used as a new approach to prevent C. albicans biofilm formation in high CO2 environments paving the way for new therapeutic approaches against infections caused by this organism.The Detect theme focuses on the requirement for accurate, quantitative biofilm detection and also measurements across multiple scales through innovative sensing, tracking and diagnostic technologies. The detection and quantification of morphological changes in a biofilm is frequently done using confocal microscopy. However, there have been issues with regards to the reproducibility of image analysis across laboratories due to some of them not reporting the full exact imaging methods and parameters used. This is essential when biofilm interventions are compared across laboratories using techniques such as LIVE/DEAD\u00ae staining. Mountcastle et al.5 have developed an automated image analysis approach which has shown reproducible and robust results in a range of bacterial species biomass and cell viability measurements. This method is highly accessible to researchers from different disciplines supporting their biofilm translational studies. There is also a need not only to visualise and quantify biofilms but also to develop novel technologies which enable scientists to visualise changes in a biofilm in real time such as viability and metabolic changes. A study by Wang et al.6 shows the use of resonant hyperspectral imaging to monitor in real-time bacterial cell attachment and micro-colony formation. With this technique the authors were able to focus on the underside of the biofilm providing a very clear picture of the early stages of biofilm formation and the fate of biofilms in response to antibiotics treatment. Another study by Hollmann et al.7 show the development of ratiometric fluorescent pH-sensitive nanosensors which enable the visualisation of pH changes in biofilms. Here the authors demonstrated that these nanosensors could be used to detect sugar metabolism in real time. The use of alternative dyes in these nanosensors will generate powerful tools to monitor wider microniche changes within biofilms at high resolution.The Manage theme is to kill, remove or control established biofilms by exploiting the knowledge gained from understanding the mechanisms governing biofilm life cycle dynamics and development, their physicochemical properties, and levels of complexity across a range of environments. Biofilms can adapt quickly to changing environmental conditions and rapidly select for mutants that increase their fitness. This poses a serious issue in the clinic with the adaptation of biofilms to antibiotic use. Some of these biofilms, and the cells sitting within different regions of such an environmentally heterogenous structure, are frequently exposed to sub-inhibitory concentrations of antibiotics yet, there is limited understanding of how they adapt to these levels of antibiotics. Trampari et al.8 show that biofilms from Salmonella Typhimurium exposed to sub-inhibitory concentrations of three antibiotics rapidly evolve resistance to them. This adaptation resulted in a deficit in biofilm formation but strains forming the least biofilms were more virulent in a Galleria mellonella infection model resulting in the lowest survival rates. This is supporting both the concept of lifestyle switch and trade-off when gaining novel function/feature. The resilience of biofilms to the action of antibiotics has also led to a search for novel approaches to eradicate them. One of these approaches is based on the use of phage components such as endolysins. In a study by Arroyo-Moreno et al.9 the authors show that endolysins can disrupt Gardnerella vaginalis both in single species and polymicrobial biofilms with no effect on microorganisms from the commensal vaginal flora nor the emergence of resistance, offering a promising strategy to combat bacterial vaginosis. An alternative approach to identify novel antimicrobials is to search from them in microbiomes as they are a great resource for bioactive molecules which has been very much unexploited. In the study by Mulkern et al.10 the authors used antimicrobial peptides form rumen microbiome that show high effectiveness against Pseudomonas aeruginosa biofilms with low cytotoxicity and hence therapeutic potential. Finally, when designing new antimicrobials, it is important to understand their impact on different components of the biofilm such as the extracellular matrix, especially if the drug interacts with it like polymyxin B. One of the most common ways to visualise changes in this matrix requires the use of dyes which can frequently alter its physicochemical properties preventing an accurate visualisation of the changes. To overcome this limitation, Powel et al.11 have used multiple particle tracking (MPT) to characterise the physical and mechanical properties of antimicrobial resistant (AMR) bacterial biofilms and quantify the effects of antibiotic treatment. Using nanoparticles (NPs) of varying charge and size they were able to quantify the diffusion and mechanical effects of antibiotic therapies within the AMR biofilm matrix as a result of changes in the viscoelasticity of the biofilm. The authors found that this approach offers a valuable tool for the pre-clinical screening of new antibiofilms.The mission of the Engineer theme is the control of biofilms in industrial environments and large-scale infrastructure, and the engineering of bespoke biofilms for targeted applications.The vision of the 12 reveals that microbes in lower abundance could have a key role in anaerobic digestion maintaining the stability and functionality of microbial communities. Therefore, the ecological role of low-abundance taxa should be further investigated in bioreactors with significant environmental impact. Biofilms can also be engineered to reduce the impact of global warming by contributing to the reduction of CO2 levels. A range of approaches, including electrochemical methods, have been developed to reduce CO2 to valuable chemicals. As such, microbial electrosynthesis (MES) offers an alternative for the sustainable conversion of CO2 into valuable organic chemicals at the cathode of bio-electrochemical systems where microorganisms are used as biocatalysts. A major bottleneck with MES lies with the development and scale up of the technology due to the slow development of CO2-reducing biofilms on the cathodes. Izadi et al.13 showed a strategy which can potentially bypass this issue by modifying the potential applied and the inorganic carbon source used as these can enhance the efficiency of the system by affecting the development of the biofilm during MES and its microbial composition. Keeping biofilms under control in drinking water systems is also paramount to maintain water quality standards. Phosphate dosing has been regularly used to prevent plumbosolvency in water supply networks; however, the impact this may have on polymicrobial communities in these networks had not been studied. Del Olmo et al.14 have studied the effect of phosphate on the growth of polymicrobial biofilms from drinking water grown on lead and PVC. They found that changes in phosphate levels can induce changes in the structure of biofilms and affect the level of chlorine in the water. Their studies will help improve the management strategies to control microbial growth in drinking water pipelines helping to increase its quality.Engineering biofilm communities for more effective anaerobic digestion has great potential in organic/wastewater treatment as it offers the opportunity to recover biogas as energy whilst reducing risks to human health and the environment. For the engineering of these systems the core microorganisms have traditionally been considered. However, the study by Guo et al.15 who have created a two-dimensional framework they have termed the Biofilm Research-Industrial Engagement Framework (BRIEF). This framework enables the organisation of current biofilm technologies relevant to biofilms across sectors, based on their accuracy to current science knowledge and industrial application, enabling to predict the chances of evolving through Technology Readiness Levels (TRLs). They also introduce some advisory guidelines to enhance the translational impact of future biofilm research.For all the above findings to be successfully translated from the academic research lab into the industrial environment it is paramount to have a cross-sectorial engagement at the conception of the technology to facilitate its evolution along a Translationally Optimal Path (TOP). This is highlighted by Highmore et al."}
+{"text": "Reviews suggest that family interventions including family therapy are effective for a range of disorders in youth. Family sculpting is used in different clinical settings to help young patients, their parents and siblings when words are not enough.Participants will be able to understand the clinical relevance of family sculpting: shifting from discussions about family problems to physical representations of family dynamics and how to apply in their practice.There will be a brief overview of the general principle of family sculpting followed by clinical vignettes of patients combined with videos of the intervention. These examples will guide the discussion on how relevant in our clinical work this therapeutic practice may be. This variation on sculpting incorporates theater warmup exercises and therapists joining the family experience.Family sculpting captures an immediate picture of the family dynamics that is a therapeutic turning point for families and gives voice to the children. The clinical cases and videos will guide clinicians on how to integrate into their own practice.This presentation will make possible integrating family sculpting into your own practice, providing an engaging alternative modality for complex cases.No significant relationships."}
+{"text": "The corrected graphical abstract now appears with the article online, and the original and corrected graphical abstract appear here.Cell Press and the authors regret this error."}
+{"text": "Informal caregiver support has been defined as different types of interventions. However, it has not been well explained in the social context and not well discussed as an integrative concept for dementia caregivers who are Asian Americans. Therefore, the aim of this study was to conduct a dimensional analysis--a type of evidence synthesis--to explore caregiver support in the context of Asian American dementia caregivers. A synthesis of 40 articles produced four interrelated dimensions of caregiver support: Individual ; Family ; Community ; and Professional healthcare system . The findings provide guidance for future studies on this population in promoting caregiver\u2019s health and developing caregiver interventions."}
+{"text": "Nervecentre is an application that can be used on mobile devices and desktop computers to record and view physical observations amongst other tools. An audit had been done previously assessing the practice of recording observations using paper documentation. That audit had recommended the use of Nervecentre to improve the recording of observations. This audit was undertaken following the introduction of Nervecentre for documentation of physical observations. The aims were to evaluate if the transition to electronic documentation of NEWS observations on Nervecentre has improved practice in comparison to paper documentation and to evaluate if our practice could be improved by implementing electronic observations for psychiatric observations in addition.Data were collected over a 10-day period looking at all the documented observations from all inpatients on the MHSOP wards that met the inclusion criteria. Data were collected on the recording of psychiatric observations (recorded on paper charts) and physical observations (recorded on Nervecentre). The data were collated and analysed. The new data were compared to the original data from prior to the introduction of NerveCentre and the findings were presented at a local meeting.This audit has highlighted that the documentation of physical observations on MHSOP wards has greatly improved since Nervecentre was introduced. There was an improvement in recording of physical observations in almost all domains measured. NEWS scores were correctly documented 100% of the time compared to 87% previously. Raised NEWS scores were correctly escalated to a senior and reviewed 80% of the time compared to 0% previously. It has also highlighted that the quality of documentation regarding psychiatric observations could be improved as we are not currently meeting local or national guidance.The most likely cause for the improvement in the recording of the physical observations is the implementation of Nervecentre. Nervecentre prompts users when observations are due, removes the risk of calculation errors and allows for observations to be directly escalated. Implementing Nervecentre for psychiatric observations may similarly improve the quality of these observations therefore improving patient safety."}
+{"text": "Older, rural adults have limited access to quality geriatric specialty care for several reasons including relatively few geriatric specialists in rural areas and lack of transportation options or patient ability to travel to more urban centers. GRECC Connect is a promising telehealth-hub and spoke model that provides rural patients access to teams of multidisciplinary geriatric specialists in more urban medical centers primarily by video connection with affiliated community-based outpatient clinics (CBOCs). This model provides a viable option for increasing access to geriatric specialty care for rural patients but is not used to the extent it could be. To date, much of our understanding of this model has come from the experts at the hub medical centers. To learn more about the experience of this model from the field we interviewed CBOC staff and providers as well as Veterans and their caregivers about geriatric specialty telehealth services. In this symposium we will discuss facilitators and barriers to implementing this model from the perspective of the field and then explore more deeply both the context of the CBOC environment and the older patient population served by rural CBOCs to further understand the challenges that are faced in attempting to connect older patients with telehealth services. Finally, we will share the perceived value of the service and alignment with local needs. This deeper understanding of the experience of the \u2018spoke\u2019 may help enhance access to much needed geriatric specialty care for rural veterans."}
+{"text": "A case report of two patients who underwent auxiliary liver transplantation and two staged hepatectomy was recently published in BMC Surgery. The surgical technique utilised is described as novel but has been published previously also in the setting of chronic liver disease. A new name for this surgical approach therefore seems redundant. The importance of careful hemodynamic monitoring of pressure and flow in the portal vein and artery of the auxiliary graft as well as optimizing venous outflow is paramount to ensure graft regeneration and avoid small for size syndrome. The relevant surgical considerations to ensure optimal safety has also been reported in previous literature. This brief letter to the editor of BMC Surgery gives an overview that put the article content in context with published literature on this transplant surgical technique. We have read the case report from S. Brunner et al. in the recent issue of BMC Surgery and beliProgress and improvement in clinical medicine is reliant on original and novel scientific contributions as well as stepwise improvements of existing published treatments and concepts. Brunner and co-workers choose to term the described surgical technique as \u201ca new treatment concept for patients with end-stage liver disease\u00bb and propose a dedicated acronym for it. We believe this to be incorrect and contributing to confusion in the terminology of the HPB surgical literature .The technique of combining liver resection with auxiliary liver transplantation has been known since 2015 as the RAPID technique in deceased and living donation respectively , 3. UtilThe original RAPID protocol includes the relevant portal modulation procedures, and successful performance of the RAPID technique in patients with cirrhosis through careful modulation of portal vein perfusion has been published previously . In the Selective attention to the published literature and introduction of established surgical techniques as novel concepts may limit the collective stepwise improvement of surgical techniques. The authors experienced a range of serious complications that certainly are of great concern, and suggest some modifications based on an \u201coptimized technical approach\u201d. The main learning experiences stated in the current paper are already described in other publications such as end to side anastomosis of the graft portal vein to the main portal trunk, the need to resect segments 1\u20133 as opposed to 2\u20133, risk of venous outflow obstruction with increasing graft regeneration necessitating endovascular stenting . ModulatNo other report on this technique have found it necessary to delay the biliary reconstruction to a separate day, pack the liver graft, or mandate a second-look procedure, thus making the patients undergo three laparotomies in the course of three weeks. In our experience, this is not justified and increases both the risk and the complexity of the procedure.On this background, we believe that the paper in its current form provides a somewhat skewed presentation of the RAPID technique and therefore think the readers of BMC Surgery should be made aware of this. We cannot see any justification or added value for the proposed acronym \u201cASPIRE\u201d apart as a designated naming of a prospective trial. There is however no citing of ethical approval or study registration in this paper to suggest that this is the case."}
+{"text": "The concern relates to the provenance of this article as brought to our attention by Faisal Alhawaj, who denies authorship of this article and others published in Cureus. These articles were submitted and subsequently published purportedly as an effort coordinated by Imam Abdulrahman Bin Faisal University to ensure all medical interns publish at least one peer-reviewed article in order to qualify for enrollment in a postgraduate residency program as stipulated by The Saudi Commission for Health Specialties (SCFHS).The journal has not been presented with enough evidence to warrant the formal retraction of these articles as both Imam Abdulrahman Bin Faisal University and The Saudi Commission for Health Specialties have failed to respond to numerous communications requesting additional information regarding these allegations. While we acknowledge that the provenance of these articles is very much in question, we cannot act until these claims have been investigated by the appropriate institutions with the results of said investigation communicated to Cureus.The concern and this note will remain appended to the above-mentioned article until Cureus is provided with official confirmation from Imam Abdulrahman Bin Faisal University or The Saudi Commission for Health Specialties."}
+{"text": "The concern relates to the provenance of this article as brought to our attention by Faisal Alhawaj, who denies authorship of this article and others published in Cureus. These articles were submitted and subsequently published purportedly as an effort coordinated by Imam Abdulrahman Bin Faisal University to ensure all medical interns publish at least one peer-reviewed article in order to qualify for enrollment in a postgraduate residency program as stipulated by The Saudi Commission for Health Specialties (SCFHS).The journal has not been presented with enough evidence to warrant the formal retraction of these articles as both Imam Abdulrahman Bin Faisal University and The Saudi Commission for Health Specialties have failed to respond to numerous communications requesting additional information regarding these allegations. While we acknowledge that the provenance of these articles is very much in question, we cannot act until these claims have been investigated by the appropriate institutions with the results of said investigation communicated to Cureus.The concern and this note will remain appended to the above-mentioned article until Cureus is provided with official confirmation from Imam Abdulrahman Bin Faisal University or The Saudi Commission for Health Specialties."}
+{"text": "The approach to providing long-term services and supports (LTSS) has changed dramatically over the last three decades in both the financing and delivery arenas. In the U.S., long-term strategies have varied by state in organizational structure, scope of delivery and administrative practices. In the past two decades an additional change has emerged with over half the states adopting some form of managed LTSS. This shift has deepened the divide in state approaches to LTSS system design and delivery. The shift to managed LTSS has been largely fueled by ideological expectations and concerns about growing Medicaid costs: Empirical research findings have played a minimal role. For example, the large CMS evaluation conducted in this area did not include Medicaid data or encounter data from the managed care plans as part of the study efforts. However, the managed LTSS experiment does create an opportunity to compare costs and outcomes of these different models of financing and delivery. This symposium will present preliminary evaluation findings from two states, Ohio and Pennsylvania, which are generating data to assess both the implementation and outcomes of these alternative LTSS models. To set the context an initial paper will discuss the expansion of managed LTSS programs across the nation and examine how these efforts compare to the development occurring in the European LTSS systems. The third presentation will discuss the results of the Community Catalyst dual eligibles\u2019 managed care demonstration program monitoring project."}
+{"text": "The National Institute for Health and Clinical Excellence (NICE) recommend that renal and thyroid function must be checked before lithium is prescribed and for all patients who are prescribed lithium should have their renal and thyroid function checked every six months, and their serum lithium checked every three months. The aim of this audit is to ascertain whether or not routine blood monitoring for bipolar disorder patients, taking lithium is in keeping with the guidelines.Lithium has been a mainstay in the management of bipolar disorder since the 1970's; indeed, lithium carbonate was first used in the early 1880's for the treatment of mania. Despite its usefulness however, the drawback of lithium treatment remains its very narrow therapeutic index, toxic side effects and as such its need for close therapeutic monitoring.A list of patients with a diagnosis of bipolar disorder being treated with lithium was collated from an electronic database of psychiatry patients in Cumbernauld Community and inpatients at Glencairn unit Coathill Hospital and Cleland Hospital. A retrospective analysis using Clinical Portal was conducted looking at blood results; Lithium levels checked 3 times a year and Kidney functions and Thyroid function checked twice a year, over the previous year. Our results were then compared to the NICE Guidelines for lithium monitoring to see if they complied with the expected routine monitoring schedule. We may have missed patients open to Community Psychiatric Nurses (CPN) but not open to Consultant psychiatrists. Other group that might have been missed could be open to General Practitioners but not to secondary care. We attempted to contact them but this was unsuccessful.Total of 690 patients were studied. Of 690 patients 51 patients had the diagnosis of Bipolar Affective Disorder. 49 percent of them were prescribed Lithium. 48percent had their Lithium bloods checked and 60 percent had their Kidney function and thyroid functions checked according to the guidelines. There were no data available for around 7 percent of patients but their Lithium levels were indicated only in Clinical notes.This audit has demonstrated that Lithium monitoring falls short of conforming to accepted standards. Data obtained by this audit have prompted an electronic alert system for patients on Lithium endorsing primary care, mental health and laboratory staff to work together to ensure supporting recommended Lithium monitoring."}
+{"text": "In South Australia (SA), there were 27 deaths of Aboriginal infants between 2005 and 2014 attributed to SUDI, which often occurs after an infant is placed to sleep (Child Death and Serious Injury Review Committee 2014).The first sentence of the second paragraph is incorrect. It should instead read as follows:The Authors would like to apologise for this mistake."}
+{"text": "As much as 40% of dementia cases can be attributed to modifiable risk factors . Much of that risk-reduction can be accomplished by changing behavior in midlife. In light of the emerging evidence that dementia may be preventable, UsAgainstAlzheimer\u2019s convened a workgroup of national experts to develop new recommendations that primary care clinicians and general neurologists can use to initiate primary prevention conversations with their patients about cognitive decline. Few resources address steps that clinicians can take in their routine care to help patients reduce risk. Some relevant resources provide excellent guidance but tend to be more focused on early detection or slowing disease progression rather than primary prevention. The Risk Reduction Workgroup (RRWG) was convened to help address the need for clinicians to know how to discuss cognitive decline with their patients. The workgroup aligned on 11 recommendations for primary care clinicians and general neurologists. In addition the RRWG provide considerations for implementing the recommendations in clinical practice. The recommendations are mindful of social determinants of health, account for cultural differences, and are designed for general accessibility. This effort is part of a broader initiative by UsAgainstAlzheimer\u2019s to address risk-reduction for cognitive decline and early interventions. Under the guidance of a multidisciplinary Provider Leadership Group consisting of representatives from some of the nation's largest health provider serving organizations, three independent workgroups are developing guidance and tools to assist providers in their clinical practice and improve health outcomes for patients at-risk for Alzheimer's and related dementias."}
+{"text": "This project was designed to evaluate the use of PRN medication and PRN monitoring charts on an adult learning disability ward. These charts had been designed by the trust to provide us with a way of monitoring the use of psychotropic PRN medication to ensure monitoring of treatment response, physical health and side effects.The data were collected from PRN monitoring charts, electronic case notes and electronic prescribing chart records for all patients on an adult learning disability inpatient unit. The sample consisted of 7 patients who had been prescribed and/or received PRN psychotropic medication over a five week period. Quantitative data were derived by simple calculation for the total amount of PRN medication used and number of PRN monitoring charts completed. Qualitative data were collected of prescription charts and PRN protocols which is supposed to guide treatment.Out of all the incidences where PRN medication was administered, only 64% of monitoring charts were completed. Out of the 7 patients on the ward, 6 had PRN protocol charts and for only 5 patients these were followed.Clinical practice must be improved. The results were presented to ward staff and doctors to discuss the implications for patient care and ways to improve clinical practice by ensuring full monitoring of the use of PRN medication to help reduce the overmedication of people with learning disability by improving the use of the PRN charts. NICE guidelines and The Royal College of Psychiatrists have published guidelines on the prescription of psychotropic drugs for people with learning disabilities. NHS England have also published an article to discourage over-medication of people with learning disabilities. There is a risk that doctors are prescribing medication to treat behaviour that is an expression of distress or a mode of communication rather than a mental disorder. Doctors have a responsibility to ensure they have fully assessed the person's potential to benefit from medication before they prescribe. The audit would serve to provide a baseline for this team prior to any audits in the future."}
+{"text": "The concern relates to the provenance of this article as brought to our attention by Faisal Alhawaj, who denies authorship of this article and others published in Cureus. These articles were submitted and subsequently published purportedly as an effort coordinated by Imam Abdulrahman Bin Faisal University to ensure all medical interns publish at least one peer-reviewed article in order to qualify for enrollment in a postgraduate residency program as stipulated by The Saudi Commission for Health Specialties (SCFHS).The journal has not been presented with enough evidence to warrant the formal retraction of these articles as both Imam Abdulrahman Bin Faisal University and The Saudi Commission for Health Specialties have failed to respond to numerous communications requesting additional information regarding these allegations. While we acknowledge that the provenance of these articles is very much in question, we cannot act until these claims have been investigated by the appropriate institutions with the results of said investigation communicated to Cureus.The concern and this note will remain appended to the above-mentioned article until Cureus is provided with official confirmation from Imam Abdulrahman Bin Faisal University or The Saudi Commission for Health Specialties."}
+{"text": "The concern relates to the provenance of this article as brought to our attention by Faisal Alhawaj, who denies authorship of this article and others published in Cureus. These articles were submitted and subsequently published purportedly as an effort coordinated by Imam Abdulrahman Bin Faisal University to ensure all medical interns publish at least one peer-reviewed article in order to qualify for enrollment in a postgraduate residency program as stipulated by The Saudi Commission for Health Specialties (SCFHS).The journal has not been presented with enough evidence to warrant the formal retraction of these articles as both Imam Abdulrahman Bin Faisal University and The Saudi Commission for Health Specialties have failed to respond to numerous communications requesting additional information regarding these allegations. While we acknowledge that the provenance of these articles is very much in question, we cannot act until these claims have been investigated by the appropriate institutions with the results of said investigation communicated to Cureus.The concern and this note will remain appended to the above-mentioned article until Cureus is provided with official confirmation from Imam Abdulrahman Bin Faisal University or The Saudi Commission for Health Specialties."}
+{"text": "There is a long-standing literature that has documented the importance of both the immediate and distal context in impacting mental and physical health across the adult lifespan. The goal of this symposium is to bring together a collection of papers that target the extent to which the immediate and distal context as measured through objective and subjective indicators relate to pertinent outcomes of mental and physical health. Staben and colleagues use an intensive longitudinal design in middle-aged adults to show that objective and subjective indicators of the neighborhood are associated with higher levels of and are protective against the impact of monthly adversity on mental health and well-being. Munoz and colleagues evaluate associations between objective and subjective early-life neighborhood contexts and whether they play a role in cognitive function at midlife. They find that poorer age-five self-report conditions were associated with lower working memory. Osuna and colleagues examine how both neighborhood and housing conditions play a role on psychological well-being. They find that housing and neighborhood safety conditions are associated with depressive symptoms over time. Piazza and colleagues examine associations between daily financial thoughts, SES, and indices of emotional and physical health. They find that individuals who reported more daily financial thoughts also reported more negative affect and physical symptoms. The discussion by Crimmins will integrate the four papers by highlighting the importance of how different forms of context can impact development in adulthood and old age, particularly in relation to health and well-being and consider future routes of inquiry."}
+{"text": "To improve postgraduate psychiatry education and training in Northern Ireland.Historically within Northern Ireland there has been a postgraduate Member of the Royal College of Psychiatrists (MRCPsych) teaching programme delivered to core trainees in preparation for MRCPsych examinations. There has been no official teaching programme for higher trainees. Northern Ireland Medical and Dental Training Agency (NIMDTA), in collaboration with the Royal College of Psychiatrists in Northern Ireland and all five Trusts developed the novel idea of introducing Postgraduate Education Fellows, to oversee and improve core training, and to develop a bespoke higher training programme.The Postgraduate Education Fellows met to collate information from various sources in relation to issues within the current teaching programme and address these along with the development of new initiatives. The fellows further act as a point of contact for all trainees within their Trust to provide advice and support with education if needed.One higher trainee was appointed to the role of Postgraduate Education Fellow in each Trust within the NIMDTA deanery for a term of 1 year.The starting point was delivering the pre-established teaching timetable and gaining feedback from core trainees to identify areas for improvement. The next phase involved piloting traditional and contemporary methods of feedback. A further development was designing a mock paper A delivered under exam conditions. Two mock Clinical Assessment of Skills and Competencies (CASC) exams were organised under exam conditions, offering other trainees the opportunity to act as simulated patients and examiners.The third aspect of this role involved creating a programme of higher trainee seminars. Baseline data were collated and identified key areas that higher trainees felt they needed further training and guidance in.Using baseline data on the current teaching programme and from higher trainees as well as incorporating quality improvement methodology, we have been making small changes to each aspect of the teaching programme and evaluating the changes made. The feedback from trainees has been positive as evidenced by quantitative and qualitative feedback. 8 candidates sat our first mock CASC with a 100% pass rate in their MRCPsych CASC examination. There has been a positive response to the higher trainee seminar programme.This programme has produced good outcomes to date and sets foundations for the future development of post graduate psychiatry education in Northern Ireland."}
+{"text": "The Covid pandemic brought to the forefront the crucial role of social interactions for society at large and in gerontological practice. Social interactions play a paramount role in preserving cognitive reserve in older adults. They rely on neurobehavioral processes that are complex . Pitch mimicry is a well-known and spontaneously arising social phenomenon that requires the integrity of numerous processes of the brain, and we hypothesize that it constitutes a potentially sensitive behavioral marker of neurodegeneration in Alzheimer\u2019s Disease and Related Dementias (ADRD). We developed and validated a series of algorithms to parse verbal exchanges between people and quantify the level of mimicry that each exhibit with their partners. Those algorithms are based on silence thresholding, carefully parametrized CEPSTRAL algorithms for automatic pitch estimation and Synchrosqueezing Transform for validation. We introduce a theoretical model to compare our estimates of pitch mimicry with model\u2019s expectations based on the null hypothesis that its neurobehavioral pathways retain their integrity. Our method will allow researchers to study the evolution of pitch mimicry in aging individuals and its sensitivity to diverse social contexts, including those preserving lasting social engagement. Our method will also allow us to test the hypothesis that Pitch Mimicry is a sensitive behavioral marker of dementia, a condition characterized by a breakdown in social relatedness."}
+{"text": "Undergraduate programs and continuing education programs in gerontology prepare students for entry-level careers in aging and increase competitiveness for graduate work in a variety of fields. Job growth in the field of gerontology is high, especially for positions requiring a bachelor\u2019s degree and less. Gerontology education at this level is essential for meeting the growing demand for workers in social services and health services who understand the opportunities and challenges that come with increased longevity and global aging. This presentation will highlight the new recommendations for competency-based gerontology education for undergraduate and continuing education credentials outlined in the latest edition of AGHE Standards and Guidelines. Whether you are developing a new curriculum or revising an old one, we will offer suggestions for using the AGHE competencies and guidelines to ensure that your program adequately prepares students and offers them a competitive edge in today\u2019s job market."}
+{"text": "Family members of persons diagnosed with dementia or a traumatic brain injury (TBI) are often relied upon to provide daily support to their care recipients. However, research on the differing experiences of caregivers based on care recipient diagnosis is limited. The aim of this study was to examine the impact of worry and feelings of vigilance among caregivers of people with cognitive impairment due to either TBI or dementia. This sample included 61 caregivers of persons with either a TBI (n = 32) or dementia (n = 29). Worry was assessed with the Penn State Worry Questionnaire and Vigilance was assessed with the Caregiver Vigilance Scale. Linear regressions revealed that after controlling for age, care recipient diagnosis moderated the relationship between worry and caregiver vigilance. Specifically, worry was significantly associated with caregiver vigilance in those caring for someone with dementia; however, a similar relationship was not seen in those caring for someone with a TBI. This suggests caregivers of people with TBIs have a different experience of worry and vigilance than caregivers of people with dementia. These findings demonstrate the need for more research on the unique needs of caregivers of people with TBIs. Additionally, this research suggests interventions targeting worry may be particularly effective in supporting caregivers of people with TBIs."}
+{"text": "Throughout our lifespan we experience the culture of our families and communities. Our cultural selves guide our understanding of health and illness. However the health care system often ignores our culture in the delivery of care. This can have devastating effects on individuals and particularly the elderly. This presentation reviews a case study of a tribally owned and operated nursing home. The emphasis on maintaining cultural activities, feasting on traditional foods, offering sacred practices led to high satisfaction of the health care experience by residents and staff. Creating this environment was difficult and barriers in culturally responsive care delivery will also be discussed."}
+{"text": "The concern relates to the provenance of this article as brought to our attention by Faisal Alhawaj, who denies authorship of this article and others published in Cureus. These articles were submitted and subsequently published purportedly as an effort coordinated by Imam Abdulrahman Bin Faisal University to ensure all medical interns publish at least one peer-reviewed article in order to qualify for enrollment in a postgraduate residency program as stipulated by The Saudi Commission for Health Specialties (SCFHS).The journal has not been presented with enough evidence to warrant the formal retraction of these articles as both Imam Abdulrahman Bin Faisal University and The Saudi Commission for Health Specialties have failed to respond to numerous communications requesting additional information regarding these allegations. While we acknowledge that the provenance of these articles is very much in question, we cannot act until these claims have been investigated by the appropriate institutions with the results of said investigation communicated to Cureus.The concern and this note will remain appended to the above-mentioned article until Cureus is provided with official confirmation from Imam Abdulrahman Bin Faisal University or The Saudi Commission for Health Specialties."}
+{"text": "The Year 2020 has proved to be a great success for Pakistan Journal of Medical Sciences as we achieved yet another landmark of crossing the Impact Factor of one as per the Journal Citation Report released by Clarivate Analytics for the Year 2020. Our current Impact Factor is 1.088.A critical analysis of the year under review shows that the number of new submissions from Pakistan as well as overseas has also significantly increased. The total submissions in 2020 was 1781. While the number of submission are increasing but our acceptance rate has remained almost static about 20%. The number of manuscripts received from Pakistan during 2020 were 854. Majority of them being from Karachi 261, Lahore 226, Islamabad 101, Peshawar 62 and Rawalpindi 43. The number of submissions and publications from Turkey was increasing during the Years 2013-2018 but decreased in 2019 but has again increased in 2020. However, the number of papers accepted for publication after peer review has not increased much due to strict peer review Researchers are under great pressure to publish their research work as soon as possible to meet deadlines for the completion of their research projects or to defend their PhD thesis but editors of biomedical journals in Pakistan are also faced with a dilemma due to human resource and financial constraints. Publications overseas in Impact Fact journals which the regulatory bodies in Pakistan as well as overseas demand is very expensive which many researchers cannot afford while the number of Impact Factor medical journals published from Pakistan so far remains just three. A few more journals have applied but it may still take some time and the authors who are always impatient will continue to suffer. The situation can be eased if the regulatory bodies in Pakistan like Higher Education Commission can accept Only Online Journals which will reduce the cost of production to a great extent and also enable the editors to accommodate more papers as there will be no page constraints. It will also reduce the publication charges for the authors which is expected to increase further in view of the devaluation of the Pakistani currency. 3However, going for only Online Journals does involve some challenges as well in view of the increasing number of predatory journals. Hence, to check this menace, the authorities can give this permission of Only Online Journals to those publications which have earned Impact Factor, or indexed in Medline, and are covered by important databases like PubMed Central and Scopus. The regulatory bodies should also facilitate the journals to get IF and indexation in international databases. (PAME) on its behalf has taken an initiative in collaboration with University of Health Sciences (UHS) Lahore to start Certificate Course in Medical Editing (CME) to build professional capacity of the editors . This has helped many editors whose journals have now been recognized by the Higher Education Commission as per the latest revised list released last month.5While we would like to thank our valued members of the Editorial Board and Reviewers who have played a vital role in the enhancement of our Impact Factor and improving the quality of manuscripts accepted for publication, we are mindful of our weaknesses as well. We need to increase our presence on Social Media which at present is not satisfactory. Accelerating the peer review system shortening the time from submission to acceptance and publication is also being looked into. We also need understanding by the authors whose papers are not accepted for various reasons and hope situation will improve in the days to come. Repeated lockdowns due to Covid19 Pandemic has also adversely affected our working. However, we were lucky to publish a special issue on Medical Imaging in collaboration with Wuhan Institute of Technology during September 2021 thereby further improving the academic collaboration and cooperation between the healthcare professionals and medical institutions of Peoples Republic of China and Pakistan.Yet another important step that Pakistan Journal of Medical Sciences has taken during the Year 2021 is collaborating with PharmEvo Pharmaceuticals to establish PharmEvo Research Forum with the main objective of promoting research culture and the art of medical writing and scientific publishing.We have also offered Internship facility to one Fellow who is getting training for the last few months. We offer special prize, scholarships in the name of our founder Chief Editor late Dr. Maqbool H. Jafary to junior editors every years and some of the brilliant candidates in the CME Course by UHS are also picked up for this award. At the certificate distribution ceremony of CME Batch-2 held at UHS Lahore on June 23, 2021, four junior editors were presented this prestigious prize/award. This is our humble effort to promote the cause of medical journalism in Pakistan."}
+{"text": "Medicaid is the largest payer of long-term services and supports and millions of older Americans rely on the means-tested program for health care coverage. There has been longstanding concern that wealthy older adults are taking advantage of the program by divesting assets in order to qualify for coverage. The existing research on the issue is somewhat dated, does not focus on the question of asset transfer, and often lacks a significant longitudinal view. Thus, questions remain about whether states need to tighten asset eligibility rules to prevent the wealthier older adults from accessing the program. This analysis explores longitudinal data from the Health and Retirement Study (1998 to 2016) to determine the extent to which wealthier Americans age 50 and older engage in asset transfer to access Medicaid. Our findings demonstrate that this may occur among a relatively small proportion of wealthy older adults, and that tightening Medicaid eligibility criteria would likely have a small to modest impact on the financial status of the program."}
+{"text": "Most African immigrants report that they had never heard about dementia until their arrival in the United States. Conversations and insights from project advisory board meetings of the African Immigrant Memory Loss and Dementia Education projects (5 conversations and 8 meetings in the Minneapolis area) reveal unique cultural and immigrant characteristics surrounding dementia terminology and awareness. Dementia is often lumped together with mental illness which is associated with stigma. In addition to the fear of bad news and death, mental health issues are often considered a result of witchcraft, spiritual attack or punishment. Additionally, there are no traditional or cultural words for dementia in many African languages and current terms used are related to mental illness and all have negative connotations. There is a need to identify appropriate words for dementia in many tribal and immigrant dialects that can facilitate dementia awareness and education programs in African communities."}
+{"text": "These chosen topics covered common significant challenges to patient health in psychiatry. Sessions were delivered to proactively address these important health related issues in a group visit setting.Baseline and post intervention feedback including telephone interviews were conducted to evaluate the effectiveness of the intervention.The qualitative data and the positive feedback obtained from participants indicate the intervention was highly valued and deemed effective in promoting positive health and lifestyle changes. Participants valued the educational and co-production aspects as well as the social and peer support elements of the groups. They appreciated the level of access they had with the clinicians involved, to explore their health and wellbeing in more detail without being limited by the usual 30 minute clinic follow-up sessions.The clinicians involved found the sessions rewarding and more engaging than most of routine 1:1 clinic sessions as they were able to spend quality time exploring important issues and not just educate the patients but also be educated by their questions and feedback about their lived experiences.The project aim was met and we believe this intervention can be successfully incorporated into the identified service provision gap within the CMH T model. There is potential to build on and embed this innovation with roll-out to a wide range of service users in different settings.In line with existing literature from GP settings, the consensus was that the amalgamated group visits/consultations model could be successfully modified to meet the needs of patients in the Mental Health arena who have a range of physical health and lifestyle concerns.We planned to obtain more information about improvement in patient self-management but this was affected by the pandemic. However, we believe it is a cost effective and helpful innovation which warrants further promotion and evaluation."}
+{"text": "Even though Germany has a mandatory health and long-term care insurance with no or only very low co-payments, immigrants and the native population differ in their health and social services use. Differences in cultural traits and a lack of knowledge about the institutional setting are frequently mentioned as contributing factors. Relying on the epidemiological approach in the economic literature, this empirical study shows that both cultural traits that prevail in older immigrants\u2019 country of origin and older immigrants\u2019 knowledge about the host country\u2019s institutional setting affect their health and social services use in Germany. We distinguish foreign-born immigrants and their descendants as both groups differ in their connection to the home and the host country. The results will be used to discuss immigrants\u2019 access and potential barriers to the use of health and social services in comparison to the native population."}
+{"text": "The concern relates to the provenance of this article as brought to our attention by Faisal Alhawaj, who denies authorship of this article and others published in Cureus. These articles were submitted and subsequently published purportedly as an effort coordinated by Imam Abdulrahman Bin Faisal University to ensure all medical interns publish at least one peer-reviewed article in order to qualify for enrollment in a postgraduate residency program as stipulated by The Saudi Commission for Health Specialties (SCFHS).The journal has not been presented with enough evidence to warrant the formal retraction of these articles as both Imam Abdulrahman Bin Faisal University and The Saudi Commission for Health Specialties have failed to respond to numerous communications requesting additional information regarding these allegations. While we acknowledge that the provenance of these articles is very much in question, we cannot act until these claims have been investigated by the appropriate institutions with the results of said investigation communicated to Cureus.The concern and this note will remain appended to the above-mentioned article until Cureus is provided with official confirmation from Imam Abdulrahman Bin Faisal University or The Saudi Commission for Health Specialties."}
+{"text": "Practical Uses of Bioelectric Stimulation. Here you will find six examples of the use of imposed or modified electric fields to greatly influence tissue functions. This is only a very small sampling of the thousands of practical uses of bioelectricity today, and many more examples of this subtopic will appear regularly in this journal.It has been a great honor to be a guest editor for this special issue on the + on the immune system. In contrast, this issue of Bioelectricity focuses on the use of imposed electric fields to modify cell and organism functions.The discipline of bioelectricity encompasses both endogenous ionic currents and electric fields used by living organisms in their daily functions as well as the use of imposed electric fields to influence or modify these functions. The endogenous ion channels and currents associated with cancer cells was highlighted in the September issue that contained eight articles focused on the bioelectricity of cancer and covered many characteristics of cancer cells that are intimately associated with bioelectricity, including the control of metastasis, the localization of specific ion channels, and the influence of extracellular KThe common theme of four of these bioelectricity applications is the use of pulsed electric fields to influence cell permeability. The first article is a broad review of the past 5 years of electrochemotherapy, the use of microsecond-domain electric fields that trigger transient or reversible permeabilization to locally enhance the uptake of drugs that kill dividing cancer cells. This approach has been used extensively in Europe but is not yet approved for use in the United States. In human oncology electrochemotherapy is fully recognized as a local therapy for cutaneous tumors and metastases and its effectiveness is also being explored in combination with immunomodulatory drugs.The second article reviews irreversible electroporation (IRE), the use of larger pulsed electric fields in the microsecond domain that generates permanent pores in the plasma membrane resulting in the loss of homeostatic equilibrium leading to necrosis within minutes to hours. This technique has been approved for human use in both the United States and Europe for soft tissue ablation. It has established a clinical niche as an alternative to thermal ablation for the eradication of unresectable tumors, particularly those near critical vascular structures. IRE clinical data have shown promise in treating tumors in the prostate, pancreas, and liver.The third article describes the use of much shorter electrical pulses to treat skin lesions called Nano-Pulse Stimulation. This is a nonthermal technology that has been used to eliminate several types of skin lesions in clinical trials approved as nonsignificant risk trials supervised by IRBs and has not yet been approved for human use. These pulses generate reversible nanopores in all membranes exposed to them that are much smaller than the pores generated by the longer microsecond pulses. In addition, they have been shown to penetrate into cells and permeabilize the organelles as well as the plasma membrane resulting in the initiation of regulated cell death when a sufficient number of pulses are applied.The fourth article describes a very new application of Nano-Pulse Stimulation, cardiac defibrillation. The standard method for defibrillation uses much longer millisecond pulses that often cause long-term damage to the heart. Nano-Pulse Stimulation requires only about 12% as much energy to defibrillate so will probably result in less tissue damage.The fifth article is an exception to the increased permeability theme and instead provides a review of tissue inflammation and regeneration responses to imposed sinusoidal magnetic fields. In addition, some new data are presented showing that 5 and 15\u2009Hz sinusoidal magnetic fields can induce very weak electric fields that can modulate inflammation and tissue regeneration. The mechanisms by which such low sinusoidal fields affect inflammation are likely to be very different from those used by much higher amplitude pulsed fields. We have much to learn about the targets of and mechanisms used by these weak oscillating electromagnetic fields.The final article in this special issue utilizes a light-activated ion channel to modify the membrane potential of brain tissue and reverse the abnormal brain and eye morphologies created by ethanol exposure. This is a striking demonstration of the critical role of membrane potential in the development of the brain that was not possible before optogenetics came on the scene. It is an amazing example of the signaling power of bioelectricity brought to light through the use of technological advances."}
+{"text": "This paper reviews 63 policy documents in four Canadian jurisdictions that guide long term residential care staff on how to enhance 11 resident quality of life in Canada. We found guidance in each jurisdiction that provide clear language to support staff discretion and flexibility to navigate regulatory tensions and enhance resident quality of life. Newer policies tend to reflect more interpretive approaches to staff flexibility and broader quality of life concepts. We argue that if interpreted through a resident quality of life lens and with the right structural supports, these promising texts offer important counters to the rigidity of long term residential care policy landscape and can be leveraged to effectively broaden and enhance quality of life for residents in long term residential care."}
+{"text": "This research tested whether performing an action themselves leads young and older adults to have difficulty remembering which of a number of other people had performed that same action. It also tested whether observing another person perform an action leads to false memory for self-performance of that action. Young adults and healthy older adults 62 to 88 years of age viewed videos of actors performing actions. After viewing some of the actions, participants were instructed to perform those same actions themselves. Participants were tested one week later on their memory for their own actions and for the actions of the actors in the videos. Older adults were more strongly influenced by self-performance than were young adults when asked whether the actor in a test item had performed the same action previously. Young adults performed better than older adults at discriminating the correct and incorrect actors in the videos, although both groups showed reduced discrimination for actions that they had also performed themselves. The two groups were equally likely to falsely remember having performed an action that had only appeared in the videos, but young adults were better able than older adults to correctly identify the actions that they had in fact performed. Older adults thus have greater difficulty than young adults at distinguishing self-performed actions from actions performed by other people. This suggests the existence of common representations for the actions of oneself and others that must be bound to identity information to specify the correct source of the actions."}
+{"text": "The aim of this audit was to look into patients on high dose antipsychotics who had developed complications of constipation in the PICU setting .Antipsychotics are usually used in the treatment of Schizophrenia and other psychotic illnesses. Drug such as Clozapine mainly has a higher risk profile due to gastrointestinal hypo motility. It could present as constipation, fecal impaction or a bowel obstruction and could even lead to death.During ward rounds enquired on bowel habits and diet.Physical examination of patients complaining of abdominal pain.Screened notes in past to see how many patients complained of constipation and interventions suggested and used.I65.3 of the 10 patients on PICU were on high dose antipsychotics and 2 of them had reported constipation. Of which one required daily review and vigorous treatment with laxatives and dietary changes.RecommendationBristol stool chart introduced as part of care plan for all patients.Teaching presentation of constipation and its treatment management was given to the PICU team.Involving medical team early on for assessment and prophylactic laxatives prescription.Liaison with the pantry team to include more options of fruits and vegetables into daily meal plan for patients.Data and material handed over to next trainee to Re-audit and complete audit cycle.Appropriate prevention and early management of side effects can enhance the benefits of antipsychotics. Bowel function monitoring and the use of prophylactic laxatives for patient on high dose antipsychotics such as clozapine is advisable to prevent complications related to it."}
+{"text": "Ever since the establishment of Indus Hospital Health Network (IHHN) by Dr. Abdul Bari and his colleagues, they have made a commendable progress and practically demonstrated that provision of free tertiary care is possible with the help of philanthropists and donors. It only becomes possible once an institution has earned credibility and the donors are confident that their contributions are being used judiciously for the purpose they are made.Starting with a major hospital at Karachi, IHHN has now expanded its network in the country and this institution has emerged as an important non-governmental player in health sector. It offers treatment facilities in almost every discipline of medicine with a multidisciplinary team approach with exceptional results. Apart from providing healthcare, it also realized the importance of documentation and publication for which they established a Research Department. Hospitals in Pakistan are considered as goldmine of data offering innumerable opportunities for research but most of them lack proper record keeping hence the data needed for research publications is not easy to find. However, IHHN knowing its importance managed to install the Health Information Management System which makes their researcher\u2019s job easy. Since the researchers are also lucky to get help, guidance and assistance from the Research Department, IHHN faculty members and postgraduate trainees have managed to complete numerous research project thus showcasing their research work at international conferences which IHHN holds regularly and much of this research work is also published.We in Pakistan Journal of Medical Sciences published a special issue at the time of their last conference ICON 2021. This year too, we were approached and after initial discussions on working modalities, the project was started in March 2021.As agreed IHHN provided us manuscript after peer review by two reviewers which were then finally reviewed and edited by our editorial team before they were accepted for publication in this \u201cOnly Online Edition\u201d. The workshop that we organized at Indus Hospital on Medical Writing and Peer Review during 2020 was very helpful and the experience which the IHHN Research Department gained while working with us last year proved very helpful with the result that this time it was mostly a smooth sailing.This special issue covers some very important subjects. Faiza Ahmed and colleagues in their write up has highlighted the knowledge and perceptions of sepsis among doctors. Sepsis, they have concluded remains a challenge to treat, it is often misdiagnosed. Early diagnosis and prompt management is the key to improving the outcome. 1Asthma severity and hospital admissions measured by PRAM score have been discussed by Kazi et al. Their conclusions are that this score is the best predictor for the need for hospitalization for these patients suffering from asthma. They have suggested that this should be put to use in clinical practice in paediatric emergency departments. They suggest better facilitation of intensive therapy of patients at triage which will decrease the need for hospitalization.2Obstructive lung disease is an important NCD. According to Saima Saeed and colleagues the OLD programme at IHHN uses capacity building, gold standard diagnostic and management strategies in primary care. This enables early diagnosis of suspected patients which improves the morbidity and mortality. 3Drug resistant tuberculosis remains yet another important problem in Paksitan. Nazia Khursheed and colleagues have identified in their study a number of such cases. They have advocated development of new strategies to reduce the spread of this disease.4Safety and efficacy of Remdesivir on mortality and length of stay in hospitalized Covid19 patients has been studied by Quratulain Shaikh et al., in this prospective cohort study which enrolled two hundred sixty eight patients. The findings of this study showed that there was no difference in in-hospital mortality while length of stay was longer in these patents. In addition more patients had severe ARDS in the RDV group. 5Ensuring privacy and confidentiality while examining a patient is extremely important but unfortunately practically it is not possible in overcrowded Out Patients Departments of public hospitals. Syed Ghuzzanfar Saleem et al studied the patient\u2019s perceptions on this issue who visited the emergency department of Indus Hospital Adult Emergency Department. They found out that despite overcrowded and busy environment patients generally felt that privacy and confidentiality were maintained which must be very satisfying for the hospital administration.6There are numerous other studies covered in this special issue which shed light on many important subjects which the researchers have discussed which make an important reading. We are delighted to be a part of this project and by offering highly concessional publication charges despite the massive devaluation of the currency, we have contributed our share to promote and project the image of this remarkable institution of which the country should be proud of. In future too, we will be delighted to help, assist and cooperate with IHHN to showcase its research work thereby making significant contribution to the world medical literature from Pakistan.We are extremely grateful to the management of IHHN for providing us this opportunity and the two Guest Editors Dr. Farhana Amanullah and Dr. Naila Baig Ansari for their hard work in compiling, this special supplement."}
+{"text": "The concern relates to the provenance of this article as brought to our attention by Faisal Alhawaj, who denies authorship of this article and others published in Cureus. These articles were submitted and subsequently published purportedly as an effort coordinated by Imam Abdulrahman Bin Faisal University to ensure all medical interns publish at least one peer-reviewed article in order to qualify for enrollment in a postgraduate residency program as stipulated by The Saudi Commission for Health Specialties (SCFHS).The journal has not been presented with enough evidence to warrant the formal retraction of these articles as both Imam Abdulrahman Bin Faisal University and The Saudi Commission for Health Specialties have failed to respond to numerous communications requesting additional information regarding these allegations. While we acknowledge that the provenance of these articles is very much in question, we cannot act until these claims have been investigated by the appropriate institutions with the results of said investigation communicated to Cureus.The concern and this note will remain appended to the above-mentioned article until Cureus is provided with official confirmation from Imam Abdulrahman Bin Faisal University or The Saudi Commission for Health Specialties."}
+{"text": "The concern relates to the provenance of this article as brought to our attention by Faisal Alhawaj, who denies authorship of this article and others published in Cureus. These articles were submitted and subsequently published purportedly as an effort coordinated by Imam Abdulrahman Bin Faisal University to ensure all medical interns publish at least one peer-reviewed article in order to qualify for enrollment in a postgraduate residency program as stipulated by The Saudi Commission for Health Specialties (SCFHS).The journal has not been presented with enough evidence to warrant the formal retraction of these articles as both Imam Abdulrahman Bin Faisal University and The Saudi Commission for Health Specialties have failed to respond to numerous communications requesting additional information regarding these allegations. While we acknowledge that the provenance of these articles is very much in question, we cannot act until these claims have been investigated by the appropriate institutions with the results of said investigation communicated to Cureus.The concern and this note will remain appended to the above-mentioned article until Cureus is provided with official confirmation from Imam Abdulrahman Bin Faisal University or The Saudi Commission for Health Specialties."}
+{"text": "Ambulatory assessment methods offer new possibilities to study cognitive, emotional, and social processes in the setting in which they naturally occur, namely in the daily life of individuals and couples. This allows to zoom into processes with great relevance for healthy aging and well-being over the lifespan. Research on daily psychological processes opens the door for investigating the interplay with contextual and stable factors that are known to shape these dynamic processes. This symposium will present and discuss innovative contributions investigating daily emotional and cognitive functioning and their interplay with social and individual characteristics over the adult lifespan. The first study by Haas and colleagues will present experience sampling data on daily prospective memory performance in couples. Haas et al. will offer a dyadic perspective on cognitive functioning by examining how prospective memory performance is co-regulated in the daily lives of younger and older couples. Meier et al. will present another study from the same couples project; here the focus is on age differences in couples\u2019 \u201cwe-ness\u201d and its relationship with daily positive emotional experiences and how they are shared with the partner. The series of talks will be completed by Zavala et al. who examined associations between stress and emotional health in daily life and its interplay with prior discrimination experiences of an age-diverse sample of BIPOC adults. After these individual contributions, Christina Roecke will discuss the presented studies and provide her reflections on the results and their implications."}
+{"text": "This poster reflects how the experience of staying with people of diverse nations and cultural background helped the stranded IMGs cope with this agony in a foreign land during an unprecedented tumultuous situation. The aim is to show that despite diversity among people, the hard times made them unite and overcome countless difficulties.The COVID 19 pandemic has been a period of global health crisis and has exponentially affected mental health issues in the world population. In these difficult times, several International Medical Graduates (IMGs), who had come to the UK to attend their PLAB exams, were left stranded as the exams were postponed, flights cancelled and borders sealed. Faced with huge uncertainty their mental health was of great concern.At this time the British Association of Physicians of Indian Origin (BAPIO) came forward to help this cohort of stranded doctors in terms of accommodation, finances, mental health support, preparation for exams to the extent of liaising with General Medical Council (GMC) and Home Office. The virtual support group provided a platform for IMGs from different nations and cultures to get in touch with each other helping overcome mental burden and stress.The stories presented in the poster show how unity in diversity helped these young doctors deal with mental trauma amidst the Pandemic.276 doctors from 27 countries were looked after by BAPIO. From those excerpts taken from 26 IMGs, personal narratives was used as a method for qualitative assessment.The percentage of IMGs clearing their exams and getting jobs in the NHS has been used for quantitative assessment.Qualitative: The personal narratives of the IMGs show how they were positively impacted by staying together albeit different nationalities and cultural background.Quantitative: A total of 21 IMGs out of the 26 cleared their PLAB 2 exams and got registration under General Medical Council giving a percentage of 81.7%. 20 IMGs have successfully joined the NHS in various posts giving a job success rate of 95.2%.The experience of living and sharing housings with people from different nationalities, has increased appreciation and also prepared them to work in the NHS which has a diverse work force. This learning experience has been integral for all of us in shaping our life in the UK making everyone more compassionate."}
+{"text": "The concern relates to the provenance of this article as brought to our attention by Faisal Alhawaj, who denies authorship of this article and others published in Cureus. These articles were submitted and subsequently published purportedly as an effort coordinated by Imam Abdulrahman Bin Faisal University to ensure all medical interns publish at least one peer-reviewed article in order to qualify for enrollment in a postgraduate residency program as stipulated by The Saudi Commission for Health Specialties (SCFHS).The journal has not been presented with enough evidence to warrant the formal retraction of these articles as both Imam Abdulrahman Bin Faisal University and The Saudi Commission for Health Specialties have failed to respond to numerous communications requesting additional information regarding these allegations. While we acknowledge that the provenance of these articles is very much in question, we cannot act until these claims have been investigated by the appropriate institutions with the results of said investigation communicated to Cureus.The concern and this note will remain appended to the above-mentioned article until Cureus is provided with official confirmation from Imam Abdulrahman Bin Faisal University or The Saudi Commission for Health Specialties."}
+{"text": "Up to 35% of Dutch elderly patients still receive an ostomy after colorectal cancer (CRC) surgery.We performed a nationwide comprehensive analysis on the postoperative results and survival after CRC surgery in elderly Dutch patients (\u2265 75 years), comparing the outcomes of patients with primary anastomosis (PA) with those with end ostomy (EO).The pace of population aging is much faster than in the past; elderly and frail patients are rapidly becoming the new challenges in the future of colorectal surgery. In contrary to popular belief, those elderly patients might not necessarily benefit from a stoma. More information is needed regarding how frailty combined with a stoma impacts postoperative outcomes and survival. Our hopes for the future are vested in the development of a surgical prediction model for colorectal surgery for elderly patients, focusing on which patients would benefit from conservative therapy and which patients would benefit from an ostomy. This is important for our clinical practice; it will change our surgical decision making and hopefully reduce the number of unnecessary elderly ostomy patients."}
+{"text": "Racial and socioeconomic disparities are prevalent in long-term services and supports (LTSS). There is a need for innovative research with practical application informing aging and disability policies to reduce health care disparities for older adults and people with disabilities using LTSS. This presentation will provide an overview of the career trajectory of Dr. Chanee Fabius, whose research agenda is informed by applied care management experience, where she helped older adults remain at home and delay the need for nursing home care. She will also present findings from work that (1) examines networks of care used by older adults and how they vary by race and socioeconomic status and (2) describes the effect of LTSS utilization on quality of life and health service utilization across diverse groups of older adults."}
+{"text": "The concern relates to the provenance of this article as brought to our attention by Faisal Alhawaj, who denies authorship of this article and others published in Cureus. These articles were submitted and subsequently published purportedly as an effort coordinated by Imam Abdulrahman Bin Faisal University to ensure all medical interns publish at least one peer-reviewed article in order to qualify for enrollment in a postgraduate residency program as stipulated by The Saudi Commission for Health Specialties (SCFHS).The journal has not been presented with enough evidence to warrant the formal retraction of these articles as both Imam Abdulrahman Bin Faisal University and The Saudi Commission for Health Specialties have failed to respond to numerous communications requesting additional information regarding these allegations. While we acknowledge that the provenance of these articles is very much in question, we cannot act until these claims have been investigated by the appropriate institutions with the results of said investigation communicated to Cureus.The concern and this note will remain appended to the above-mentioned article until Cureus is provided with official confirmation from Imam Abdulrahman Bin Faisal University or The Saudi Commission for Health Specialties."}
+{"text": "The concern relates to the provenance of this article as brought to our attention by Faisal Alhawaj, who denies authorship of this article and others published in Cureus. These articles were submitted and subsequently published purportedly as an effort coordinated by Imam Abdulrahman Bin Faisal University to ensure all medical interns publish at least one peer-reviewed article in order to qualify for enrollment in a postgraduate residency program as stipulated by The Saudi Commission for Health Specialties (SCFHS).The journal has not been presented with enough evidence to warrant the formal retraction of these articles as both Imam Abdulrahman Bin Faisal University and The Saudi Commission for Health Specialties have failed to respond to numerous communications requesting additional information regarding these allegations. While we acknowledge that the provenance of these articles is very much in question, we cannot act until these claims have been investigated by the appropriate institutions with the results of said investigation communicated to Cureus.The concern and this note will remain appended to the above-mentioned article until Cureus is provided with official confirmation from Imam Abdulrahman Bin Faisal University or The Saudi Commission for Health Specialties."}
+{"text": "Introduction. This paper examines regulations which govern procedures for reporting incidents other than accidents or serious incidents related to unmanned aircraft system (UAS) operations. The regulations are discussed in the context of available data and the paper included an analysis of them from both a European and national perspective. The goal of the paper is to provide a series of recommendations with regard to the procedures for reporting and analyzing UAS incidents in order to improve the safe integration of unmanned and manned aviation. This article also explores the legal consequences that arise from the midair collision between a UAS and a manned aircraft. Material and methods: The method of study comprises a content analysis of existing legislations. The current doctrine was confronted with existing regulations, documents and materials. Results: The results of the study show that there is a practical problem of objectively identifying operators of a UAS as well as in defining what exactly constitutes an \u201cincident\u201d. It can be reasonably concluded that reporting and analyzing UAS-related incidents allows for the assessment and development of strategies for integrating manned and unmanned aviation. It is worth mentioning that drones and UAS technology requires refinement, especially in technological terms. It is reasonable to take action aimed at raising awareness amongst UAS users of the need to report incidents, as well as engaging UAS users in the investigative process which follows such occurrences."}
+{"text": "Behavioral and psychological symptoms of dementia are increasingly being reconceptualized as expressions of distress and unmet needs. Measures that evaluate context are needed to increase our understanding of factors that influence these expressions. This review evaluated measures for two common behavioral states that are experienced as challenging for caregivers: apathy and resistance to care. A systematic literature search identified measures of apathy or resistance to care for people living with dementia. Eight measures of apathy and three measures of resistance to care were identified. Reliability and validity of these measures were evaluated using the COSMIN framework, as well as reported contextual factors within which the behavior occurs. The identified measures had fair to good reliability and validity in people living with dementia. However, available measures need to move beyond symptomatic constructs for this complex paradigm, and toward the varied interpersonal and contextual factors associated with behavioral expression."}
+{"text": "The concern relates to the provenance of this article as brought to our attention by Faisal Alhawaj, who denies authorship of this article and others published in Cureus. These articles were submitted and subsequently published purportedly as an effort coordinated by Imam Abdulrahman Bin Faisal University to ensure all medical interns publish at least one peer-reviewed article in order to qualify for enrollment in a postgraduate residency program as stipulated by The Saudi Commission for Health Specialties (SCFHS).The journal has not been presented with enough evidence to warrant the formal retraction of these articles as both Imam Abdulrahman Bin Faisal University and The Saudi Commission for Health Specialties have failed to respond to numerous communications requesting additional information regarding these allegations. While we acknowledge that the provenance of these articles is very much in question, we cannot act until these claims have been investigated by the appropriate institutions with the results of said investigation communicated to Cureus.The concern and this note will remain appended to the above-mentioned article until Cureus is provided with official confirmation from Imam Abdulrahman Bin Faisal University or The Saudi Commission for Health Specialties."}
+{"text": "The concern relates to the provenance of this article as brought to our attention by Faisal Alhawaj, who denies authorship of this article and others published in Cureus. These articles were submitted and subsequently published purportedly as an effort coordinated by Imam Abdulrahman Bin Faisal University to ensure all medical interns publish at least one peer-reviewed article in order to qualify for enrollment in a postgraduate residency program as stipulated by The Saudi Commission for Health Specialties (SCFHS).The journal has not been presented with enough evidence to warrant the formal retraction of these articles as both Imam Abdulrahman Bin Faisal University and The Saudi Commission for Health Specialties have failed to respond to numerous communications requesting additional information regarding these allegations. While we acknowledge that the provenance of these articles is very much in question, we cannot act until these claims have been investigated by the appropriate institutions with the results of said investigation communicated to Cureus.The concern and this note will remain appended to the above-mentioned article until Cureus is provided with official confirmation from Imam Abdulrahman Bin Faisal University or The Saudi Commission for Health Specialties."}
+{"text": "We read with interest the review by Dastoorpoor and colleagues , highligWe would like to highlight the importance of contrasting work related to the prevalence of sexual dysfunction in MS against broader community samples when considering this research, given that sexual dysfunction in men is prevalent and increases with age and common ageing-related comorbidities (e.g. diabetes and cardiovascular disease) . For exaWhile a systematic review and meta-analysis are limited to available data from the original studies, we believe there is a need to consider sexual dysfunction across the spectrum of severity from mild through severe. The current review aptly pointed out the differences in measurement tools used across studies, but some discussion about the measurement of severity and its impact on prevalence estimates is warranted. A Danish community study found that 11% of male respondents reported sexual dysfunction (frequent and perceived as a problem), while 68% of males reported less severe sexual difficulties . Many ofWe again wish to thank the authors for bringing this research together and summarising information about the prevalence of sexual dysfunction for men with MS to date. We hope to have encouraged a follow-up article detailing some of the above aspects and that future reviews on this topic will be considered from the perspective of sexual dysfunction in men more broadly, across the severity of dysfunction and potential causal aspects to contextualise knowledge in this area. A more detailed understanding of this important clinical issue would assist with appropriate clinical attention and management, as well as referral for support to maximise the quality of life for men with MS who experience sexual dysfunction."}
+{"text": "Following the publication of the original article the authDNA2 gene [18].\"\"Another special IBDD patient, with a severe lack of speech development and lack of social interactions, was reported to be associated with autism that was genetically confirmed in the The correct sentence should read:\"Another special IBDD patient, with a severe lack of speech development and lack of social interactions, was reported to be associated with autism [18].\"The original article has already been corrected as above."}
+{"text": "The Coronavirus disease 2019 (COVID-19) pandemic has introduced numerous challenges to the global scientific community and has been particularly disruptive to the conduct of ongoing clinical trials. Gerontological studies that focus on older adults with cognitive impairments have endured additional challenges ranging from increased vulnerability of this group to COVID-19, thereby prohibiting study participation, to difficulties in participant engagement as a product of a worsening Digital Divide. The purpose of this talk is to describe the pandemic-related factors that have influenced recruitment and enrollment of older adults with mild cognitive impairment and mild dementia in an ongoing feasibility study of a physical activity smartphone app. We discuss the changes we made to recruitment procedures and the impact those changes have had on the success of enrolling individuals in the study. We conclude with a discussion of feasible strategies and procedural alterations moving forward that may facilitate achievement of enrollment goals."}
+{"text": "Following publication of the article , it cameThe figure has been updated in the published article and the correct values may be found in this correction article.The authors thank you for reading and apologize for any inconvenience caused."}
+{"text": "Family members of persons diagnosed with dementia or a traumatic brain injury (TBI) are often relied upon to provide daily support to their care recipients. However, research on the differing experiences of caregivers based on care recipient diagnosis is limited. The aim of this study was to examine the impact of worry and feelings of vigilance among caregivers of people with cognitive impairment due to either TBI or dementia. This sample included 61 caregivers of persons with either a TBI (n = 32) or dementia (n = 29). Worry was assessed with the Penn State Worry Questionnaire and Vigilance was assessed with the Caregiver Vigilance Scale. Linear regressions revealed that after controlling for age, care recipient diagnosis moderated the relationship between worry and caregiver vigilance. Specifically, worry was significantly associated with caregiver vigilance in those caring for someone with dementia; however, a similar relationship was not seen in those caring for someone with a TBI. This suggests caregivers of people with TBIs have a different experience of worry and vigilance than caregivers of people with dementia. These findings demonstrate the need for more research on the unique needs of caregivers of people with TBIs. Additionally, this research suggests interventions targeting worry may be particularly effective in supporting caregivers of people with TBIs."}
+{"text": "The concern relates to the provenance of this article as brought to our attention by Faisal Alhawaj, who denies authorship of this article and others published in Cureus. These articles were submitted and subsequently published purportedly as an effort coordinated by Imam Abdulrahman Bin Faisal University to ensure all medical interns publish at least one peer-reviewed article in order to qualify for enrollment in a postgraduate residency program as stipulated by The Saudi Commission for Health Specialties (SCFHS).The journal has not been presented with enough evidence to warrant the formal retraction of these articles as both Imam Abdulrahman Bin Faisal University and The Saudi Commission for Health Specialties have failed to respond to numerous communications requesting additional information regarding these allegations. While we acknowledge that the provenance of these articles is very much in question, we cannot act until these claims have been investigated by the appropriate institutions with the results of said investigation communicated to Cureus.The concern and this note will remain appended to the above-mentioned article until Cureus is provided with official confirmation from Imam Abdulrahman Bin Faisal University or The Saudi Commission for Health Specialties."}
+{"text": "The concern relates to the provenance of this article as brought to our attention by Faisal Alhawaj, who denies authorship of this article and others published in Cureus. These articles were submitted and subsequently published purportedly as an effort coordinated by Imam Abdulrahman Bin Faisal University to ensure all medical interns publish at least one peer-reviewed article in order to qualify for enrollment in a postgraduate residency program as stipulated by The Saudi Commission for Health Specialties (SCFHS).The journal has not been presented with enough evidence to warrant the formal retraction of these articles as both Imam Abdulrahman Bin Faisal University and The Saudi Commission for Health Specialties have failed to respond to numerous communications requesting additional information regarding these allegations. While we acknowledge that the provenance of these articles is very much in question, we cannot act until these claims have been investigated by the appropriate institutions with the results of said investigation communicated to Cureus.The concern and this note will remain appended to the above-mentioned article until Cureus is provided with official confirmation from Imam Abdulrahman Bin Faisal University or The Saudi Commission for Health Specialties."}
+{"text": "The is session will demonstrate how to use the Canvas learning management system (LMS) to organize and facilitate interprofessional education experiences (IPE) amongst students and faculty. Emphasis will be placed on the use modules as a way to organize content and facilitate requirements associated with IPE. In addition, the session will include demonstration on how to assign disciplines to sections to aide in faculty abilities to review of student submissions."}
+{"text": "The concern relates to the provenance of this article as brought to our attention by Faisal Alhawaj, who denies authorship of this article and others published in Cureus. These articles were submitted and subsequently published purportedly as an effort coordinated by Imam Abdulrahman Bin Faisal University to ensure all medical interns publish at least one peer-reviewed article in order to qualify for enrollment in a postgraduate residency program as stipulated by The Saudi Commission for Health Specialties (SCFHS).The journal has not been presented with enough evidence to warrant the formal retraction of these articles as both Imam Abdulrahman Bin Faisal University and The Saudi Commission for Health Specialties have failed to respond to numerous communications requesting additional information regarding these allegations. While we acknowledge that the provenance of these articles is very much in question, we cannot act until these claims have been investigated by the appropriate institutions with the results of said investigation communicated to Cureus.The concern and this note will remain appended to the above-mentioned article until Cureus is provided with official confirmation from Imam Abdulrahman Bin Faisal University or The Saudi Commission for Health Specialties."}
+{"text": "The concern relates to the provenance of this article as brought to our attention by Faisal Alhawaj, who denies authorship of this article and others published in Cureus. These articles were submitted and subsequently published purportedly as an effort coordinated by Imam Abdulrahman Bin Faisal University to ensure all medical interns publish at least one peer-reviewed article in order to qualify for enrollment in a postgraduate residency program as stipulated by The Saudi Commission for Health Specialties (SCFHS).The journal has not been presented with enough evidence to warrant the formal retraction of these articles as both Imam Abdulrahman Bin Faisal University and The Saudi Commission for Health Specialties have failed to respond to numerous communications requesting additional information regarding these allegations. While we acknowledge that the provenance of these articles is very much in question, we cannot act until these claims have been investigated by the appropriate institutions with the results of said investigation communicated to Cureus.The concern and this note will remain appended to the above-mentioned article until Cureus is provided with official confirmation from Imam Abdulrahman Bin Faisal University or The Saudi Commission for Health Specialties."}
+{"text": "The study highlighted that the integration of new FPs into the healthcare team requires active management, including the need for role clarification and supporting role maturation over time.Interviews with district managers to understand the impact of family physicians (FPs) on the South African health system confirmed several benefits, including their ability to increase access to a more comprehensive and coordinated health service, to improve clinical care, to capacitate the healthcare team and facilitate clinical governance activities.3 A survey was held amongst South African Academy of Family Physicians (SAAFPs) members to explore the needs and suggestions for activities for this special interest group, which is named Next5 (see At the April 2021 meeting of the South African Academy of Family Physicians education and training committee (ETC), it was agreed to set up a working group to look at an initiative on how the academy can assist newly qualified FPs within their first 5 years of qualifying, similar to the First five concept of the Royal College of General Practitioners and the Young Doctors Movements of WONCA (World Organization of Family Doctors).1 By encouraging existing FPs to support new FPs in their transition from registrar to expert generalist trained to work in both public and private healthcare sectors, we trust that this new Academy initiative will assist with creating an ongoing \u2018sense of belonging\u2019 in the SAAFP community and tangible membership benefits for all newly qualified FPs. We encourage all registrars to continue their full membership of the SAAFP after graduation and become involved with the Next5 activities. If you are keen to learn more about this initiative and wish to become involved, please email to admin@saafp.org.As part of the August 2021 ETC presentation, we reviewed the number of registrars who became SAAFP members after graduation . Reassur"}
+{"text": "The concern relates to the provenance of this article as brought to our attention by Faisal Alhawaj, who denies authorship of this article and others published in Cureus. These articles were submitted and subsequently published purportedly as an effort coordinated by Imam Abdulrahman Bin Faisal University to ensure all medical interns publish at least one peer-reviewed article in order to qualify for enrollment in a postgraduate residency program as stipulated by The Saudi Commission for Health Specialties (SCFHS).The journal has not been presented with enough evidence to warrant the formal retraction of these articles as both Imam Abdulrahman Bin Faisal University and The Saudi Commission for Health Specialties have failed to respond to numerous communications requesting additional information regarding these allegations. While we acknowledge that the provenance of these articles is very much in question, we cannot act until these claims have been investigated by the appropriate institutions with the results of said investigation communicated to Cureus.The concern and this note will remain appended to the above-mentioned article until Cureus is provided with official confirmation from Imam Abdulrahman Bin Faisal University or The Saudi Commission for Health Specialties."}
+{"text": "Unpaid work carried out inside the home has increased in the pandemic, and evidence points to women\u2019s share in care responsibilities and domestic tasks remaining higher than those of men in the pandemic, continuing the gender divides of past decades."}
+{"text": "The main aim of this audit was to determine the prevalence of HDAP in Havering Community Recovery Team (CRT). The secondary aim was to determine how well HDAP has been monitored and documented - specifically, whether discussions around the reasons for continuing and the risks and benefits have been discussed.There is a focus to reduce high dose antipsychotic prescribing (HDAP) due to the lack of evidence that it is efficacious and that smaller doses have an equivalent effect and are better tolerated. Similarly, the consensus by the Royal College of Psychiatrists is that any prescribing of high dose antipsychotics should be an 'explicit, time-limited individual trial\u2019 with a distinct treatment target. There should be a clear plan for regular clinical review including safety monitoring. The high-dose regimen should only be continued if the trial shows evidence of benefit that is not outweighed by tolerability or safety problems.' Following a CQC inspection in 2014 of NELFT which found that the trust was failing to comply with the relevant requirements of the Health and Social Care Act 2008 with regards to safe use of medicines, yearly audits of inpatient HDAP have been undertaken. Although improvements have been made in the inpatient setting, no such audits have been performed in the community setting and consequently there is no data in NELFT regarding community services compliance with the above regulations.All 349 patients in Havering CRT clinical records were screen by either using RIO or GP letters from recent CPA reviews. A data collection and analysis tool was created using Microsoft Excel. Data collection and analysis was carried out by the project lead and checked by a fellow project member.16 (4.58%) of patients were prescribed a high-dose antipsychoticOf the 16 prescribed high dose antipsychotics:0 out of 16 had the high dose antipsychotic monitoring form available12 (75%) had well documented evidence of review of HDAP.4 (25%) had no documented evidence of review of HDAP.Of the 349 patients included for analysis:There is a small group of patients receiving high dose antipsychotic therapy for which better monitoring is needed. This should include education of staff regarding HDAP, better documentation in their care plans and working with pharmacy to make HDAP monitoring forms available widely in the community."}
+{"text": "Concerns about loneliness and social isolation for older adults were already evident but have been exacerbated during the pandemic. Home and Community Based Organizations (HCBOs) provide support for their older clients in the community and need to support their staff, who may be working remotely. We are exploring the potential of video chat technology to connect older adults with their friends, families, and other support. We review the technologies available to older adults in the community and staff working with older adults to promote social engagement. We are collaborating with OneClick.chat to identify the needs of the HCBOs through a literature review and qualitative interviews of staff members from different senior living environments. Their challenges and successes of engaging older adults through video chat technologies will provide guidance for design of an HCBO dashboard for OneClick.chat that will support diverse needs."}
+{"text": "Nemeth et al. have sought to collect and collate the current knowledge generated on IPF disease development and progression through a review on the cellular heterogeneity during the progression and development of fibrotic lung disease and how these single cell studies provide insight toward identifying novel therapeutics for the treatment of IPF.This Research Topic titled \u201cFrom Development to Senescence, Bridging the GAP in Pulmonary Fibrosis\u201d sought to clearly define the role of developmental and senescence pathways that are abnormally regulated during the progression of interstitial lung diseases (ILDs). In contrast to the progress made in reducing the mortality in several other diseases including cancers, ILD mortality rates have remained constant over the last decade. ILDs are characterized by the loss of normal lung regions that are replaced by fibrotic tissue that replace normal alveoli leading to progressive respiratory failure and potentially death. The term ILDs is associated with several lung diseases including cystic fibrosis, scleroderma, sarcoidosis, and one of the most common forms of ILD, Idiopathic Pulmonary Fibrosis (IPF) . IPF is Gokey et al. One of the major pathways identified through genetic studies in mice has been the transforming growth factor-beta (TGFb) pathway. Al-Mudares et al. have sought to clarify the potential role of a TGFb pathway member growth differentiation factor 15 (GDF15), a protein that is ubiquitously expressed, that appears to play a role across the lifespan, as it has been implicated in early life diseases such as bronchopulmonary dysplasia to diseases associated with increased age such as COPD and IPF. The potential role of GDF15 in senescence points to another established risk factor of pulmonary fibrosis, increased age. The link between aging, exposure to injury, and senescence is further explored as a driving factor in onset of pulmonary fibrosis, which is increasingly critical as the world's population ages. Venosa defines the loss of normal cellular \u201cfitness\u201d through the progression of cellular senescence and discusses how as the patient ages, a major indicator of pulmonary fibrosis prognosis, the threshold of injury required to generate an irreversible phenotype is lowered, thereby increasing the potential for abnormal lung regeneration and onset of fibrosis. The link to chronic injury, and potential to treat the source of certain injuries is further explored by Duckworth et al., who collated current data on the role of herpes viral injury in the development of IPF and seek to clarify discrepancies as to whether herpes virus injury is a contributing factor. The potential mechanisms by which herpes virus induces fibrotic progression and whether treatment of viral injury may be beneficial in delaying fibrotic progression are discussed. In the current global environment, the potential role of viral infections leading to onset of pulmonary fibrosis is of eminent concern. The role of lung injury driven by Severe Acute Respiratory Syndrome coronavirus 2 that causes COVID-19, that leads to fibrotic remodeling in some patients is further explored by Kiener et al. The authors explore the various potential models available to study lung fibrosis in-vitro in human samples including the use of precision cut lung slices and organoids to study alveolar regeneration.Several pathways have been implicated in driving development and progression of pulmonary fibrosis. Single cell sequencing has identified that the Hippo/YAP pathway is aberrantly activated in IPF. The recently identified role for YAP during normal alveolar development and repair, as well as aberrant activation leading to abnormal repair that induces atypical cell phenotypes associated with pulmonary fibrosis. Open questions surrounding the function of Hippo/YAP signaling in both normal and pathologic alveolar repair and fibroblast activation have been summarized by Lopez-Rodriguez et al. have generated a novel study by which enhanced repair is capable in the bleomycin induced lung injury model. Instillation of primary AT2 cells into the lung 7 days post injury enhanced lung physiology compared to animals that did not receive AT2 cells when assessed at 14 days post injury.Understanding the mechanisms regulating alveolar repair, and determining ways to enhance alveolar regeneration, are beneficial approaches to identify potential efficacious treatments to delay or resolve pulmonary fibrosis. The most utilized model of pulmonary fibrosis is the use of bleomycin injury in mammalian models. Collectively these manuscripts collate and clarify the current literature in the field that defines the role of developmental and senescence pathways in the onset and progression of pulmonary fibrosis. This collection of timely and insightful reviews greatly assists the field in quickly organizing the current literature and providing novel insights that facilitates the advancement of the understanding of pathways and tools that may provide efficacious targets for delaying, preventing, or resolving pulmonary fibrosis and provide hope for patients diagnosed with this disease and its bleak prognosis.The author confirms being the sole contributor of this work and has approved it for publication.This work was made possible by the Pulmonary Fibrosis Foundation, by an independent grant from Boehringer Ingelheim Pharmaceuticals, Inc. who provided the financial support. The author meets criteria for authorship as recommended by the International Committee of Medical Journal Editors (ICMJE) and was fully responsible for all aspects of the trial and publication development.The author declares that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest.All claims expressed in this article are solely those of the authors and do not necessarily represent those of their affiliated organizations, or those of the publisher, the editors and the reviewers. Any product that may be evaluated in this article, or claim that may be made by its manufacturer, is not guaranteed or endorsed by the publisher."}
+{"text": "Aging is the major risk factor for many diseases but the mechanisms are poorly understood. The risk of developing hepatic steatosis increases with age and the health impact of this disease is negative and high. When challenged with high fat diets, long living Ames mice withstand the detrimental metabolic effects that occur in normal mice. We examined transcriptomic and epigenomic profiles of Ames and wild type hepatocytes in the presence or absence of fat to demonstrate that the epigenomic profile drives transcription factor and downstream gene expression resulting in susceptibility or resistance to fatty liver disease. We found that markers of steatosis are related to gene expression in wild type and Ames mice, and dwarf mice retain fewer lipid droplets compared to wild type mice. These studies will provide data to guide our understanding of mechanisms leading to hepatic disease and define factors that provide protection from age-related metabolic disorders."}
+{"text": "Modern bioinformatics requires the use of many field-specific file formats. Two of the most prevalent formats for representing biological sequences are FASTA and FASTfqfa is a pure Python package that aims to fill the needs of bioinformatics and computational biology researchers who want a simple and efficient solution for working with files in FASTA and FASTQ formats. It has no dependencies outside of the Python standard library (with the exception of backported dataclasses for PythAlthough fqfa is written in pure Python, its performance is comparable to modules using C extensions like pyfastx for taskfqfa is released under the BSD 3-Clause License and is available from GitHub and PyPI."}
+{"text": "In their prospective multicentre study Stumpf et al. report on the humoral and cellular immunity to SARS-CoV-2 vaccination in the so far largest cohort of dialysis patients However, when looking in detail at the quantity of the antibody titre their humoral response is significantly lower than in health care workers or non-dialysis patients . More thIn addition to this apparent diminished antibody response in dialysis patients, concerns also remain about faster waning of antibody levels after vaccination in this group, as is described after natural infection Sandra Hasmann and Ulf Sch\u00f6nermarck designed the letter; all authors contributed significantly to the content of the letter and have accepted the final version.This article is based on previously conducted studies and does not contain any new studies with human participants or animals performed by any of the authors.The authors have nothing to disclose."}
+{"text": "Mexican immigrants make up an increasing proportion of the US population 65 and older. Estimating outcomes for this population is complicated by return migration. Due to data limitations, theoretical frameworks and empirical evidence fail to provide clear indication of the economic selection mechanism of return migration, especially at older ages making it difficult to estimate economic determinants of return. Here two waves of data from the US based Health and Retirement Study and the Mexican Health and Aging Study are combined to create a novel dataset that enables a comparison of assets at older ages for those who stay in the US, those who return before age 50 and those who return at 50 and older. Unadjusted results show no difference in total net wealth at older ages between the three groups, with higher business assets among returnees and higher concentration of wealth in home equity among stayers. With evidence of higher inequality among stayers, lower median wealth in Mexico, and asset advantages operating through citizenship, older age return can be interpreted as a means to acquire a higher standard of living in retirement for non-citizen immigrants. Comparing assets between 2000 and 2012 reveal the vulnerability of stayers during the US housing crisis. These findings are novel because they point to return migration as a retirement strategy and expose a source of vulnerability among those Mexican immigrants who remain in the US into older ages."}
+{"text": "The concern relates to the provenance of this article as brought to our attention by Faisal Alhawaj, who denies authorship of this article and others published in Cureus. These articles were submitted and subsequently published purportedly as an effort coordinated by Imam Abdulrahman Bin Faisal University to ensure all medical interns publish at least one peer-reviewed article in order to qualify for enrollment in a postgraduate residency program as stipulated by The Saudi Commission for Health Specialties (SCFHS).The journal has not been presented with enough evidence to warrant the formal retraction of these articles as both Imam Abdulrahman Bin Faisal University and The Saudi Commission for Health Specialties have failed to respond to numerous communications requesting additional information regarding these allegations. While we acknowledge that the provenance of these articles is very much in question, we cannot act until these claims have been investigated by the appropriate institutions with the results of said investigation communicated to Cureus.The concern and this note will remain appended to the above-mentioned article until Cureus is provided with official confirmation from Imam Abdulrahman Bin Faisal University or The Saudi Commission for Health Specialties."}
+{"text": "Aboriginal people face challenges on several fronts when it comes to the health and wellbeing of their community, compared to the rest of the Australian population. This is no different in urban areas such as Australia\u2019s largest urban Aboriginal community located in Blacktown, NSW, where sexually transmitted infections (STIs) remain an issue of concern. Across Australia, rates of infectious syphilis, human immunodeficiency virus (HIV), and hepatitis C infection have increased by 400, 260, and 15% respectively while gonorrhoea decreased 12% in the 5-year period from 2013 to 2017. This study explores how to address the barriers that prevent young Aboriginal people under 30 years of age from accessing STI treatment through Government Sexual Health Services.This qualitative study will use purposeful sampling to recruit 20 male and 20 female health consumers, 10 Aboriginal elders and 10 sexual health clinicians. This recruitment will be undertaken with the assistance of the local Government Health Services and local Aboriginal organisations. One-on-one semi-structured interviews will be undertaken by someone of the same gender in order to address cultural preferences. Data will be entered into NVivo and thematically analysed.This study will seek to add to the literature that explores why young Aboriginal people do not access sexual health services. This study seeks to understand the experience of clinicians, Aboriginal elders and Aboriginal young people to provide practical policy and clinical redesign evidence that can be used to improve the experience and cultural safety of sexual health services in urban areas of Australia. The results of the qualitative research will be disseminated with the assistance of participating local Aboriginal organisations, and the findings will be published through peer-reviewed scientific journals and conference presentations.The study is approved by the Western Sydney Local Health District Human Research Ethics Committee (HREC/16/WMEAD/449) and the New South Wales Aboriginal Health and Medical Research Council\u2019s Human Research Ethics Committee (1220/16). The Closing the Gap report delivered the Australian Parliament a stark picture of the health of Australia\u2019s first people [In 2008, t people . The scat people . Over tht people . Of partt people . The medt people . There iNSW STI Strategy 2016\u20132020 also identifies Aboriginal people as a priority population in the strategy and in particular focuses upon young people [Whilst the Aboriginal population across Australia represents 3% of the total population, incidence rates of STIs can range anywhere from 3 to 30 times higher than that of the non-Aboriginal population . AccordiAboriginal people in urban communities are often not the focus of research because the funding priorities of the Commonwealth Government tend to direct significant funding towards remote communities and leave state and territory governments to address health needs in urban areas . AborigiOne of the barriers to accessing sexual health services appears to be shame and stigma \u201310. The There is a significant gap in the published literature in terms of studies that seek to understand the issues that prevent Aboriginal people participating in sexual health care through the collection of directly obtained evidence. Many of the studies reviewed, including those undertaken by Bailie et al., Nattabi et al., Buhrer-Skinner et al. and Richmond et al., rely on the response of clinicians in quality improvement processes to guide the conclusions of their research \u201314. ThesThe status of sexual health amongst young Aboriginal people in Western Sydney is an area that has not been explored in any great depth within the published literature. The study undertaken by Biggs et al. provides a cross-sectional view of Aboriginal people attending public sexual health services in Western Sydney through an incentive-based program called \u2018The Deadly Liver Mob\u2019 . The DeaThis study will seek to add to the literature by exploring why young Aboriginal people do not access sexual health services. This study seeks to understand the experience of clinicians, Aboriginal elders and Aboriginal young people to provide practical policy and clinical redesign evidence that can be used to improve the experience and cultural safety of sexual health services in urban areas of Australia.This qualitative study will utilise content analysis design and undertake semi-structured one-on-one interviews with up to 40 health consumers , 10 clinicians and 10 community elders or until a saturation point is reached. Inclusion criteria for health consumers will be that they need to be between 18 and 29 years of age at the time of enrolment into the study. The semi-structured interview guide was developed with feedback from Aboriginal staff and Clinical Staff with specialist knowledge of sexual health. Wherever possible, we will be using Aboriginal interviewers to create culturally safe spaces for study participants to respond to questions. All cohort groups will be interviewed using a semi-structured interviewer-assisted questionnaire with the aim of answering the following questions:What prevents Aboriginal people in Western Sydney from accessing government sexual health services?What would enable Aboriginal people in Western Sydney to access mainstream services?Would changes in service modality make services more accessible?What do participants see as the most important things that could be implemented to improve sexual health services in Western Sydney?A target number was purely set to ensure gender equity amongst study participants, and data collection will cease once saturation has been reached. The study investigators have adequate qualifications and experience to undertake a qualitative study in the area of sexual health and have significant expertise in community engagement and co-design. The questionnaire is worded in plain English to ensure that potential participants with low literacy can also participate. Interviews will be audio recorded, and results of this study will be analysed using the software program, NVivo , so that major themes can be identified and thematically analysed.This data will create translational research that will assist service delivery models in publicly funded Sexual Health services in Western Sydney and perhaps more widely.Study participants will be free to withdraw from the study at any point up to where audio files are destroyed, post the transcription process. Participants will not be able to withdraw after this point because individual transcripts will only be coded with the participant\u2019s interview cohort, gender and a sequential number; therefore, any individual submission will not be able to be identified for withdrawal.This study will be conducted in a manner that safeguards the anonymity of participants by ensuring that interview responses do not contain any identifying marks apart from an indication of age and sex. This will assist in protecting the privacy of Aboriginal people who choose to participate in the study. The value of Aboriginal interpretation is integral to this project\u2019s success, and this will be achieved through the engagement of Aboriginal research assistants, consultation about the study design and through the engagement of Aboriginal people in the analysis of data and the final conclusions of the study. Involvement in the governance of the study is also of paramount importance, and every effort will be made to ensure participation.NSW Children and Young Persons (Care and Protection) Act 1998, the matter will be immediately reported to the NSW Department of Families and Communities, and referrals would be offered to relevant support services [The investigators anticipate that some risks may be posed by participants disclosing sensitive information particularly around the conduct of illegal activities, a history of sexual or physical abuse or need to have sexual health conditions treated. Should a disclosure of illegal activity be made, the interview would be immediately terminated in order to ensure that the participant did not further incriminate themselves. If the disclosure relates to any form of abuse that falls under the definitions of Section 27 of the services . In ordeThe results of this study will be disseminated through several different media including meetings with study participants, local elders and Aboriginal groups, peer-reviewed publications, presentation of results at conferences, and through summaries presented via social media.The contribution of local Aboriginal people will be acknowledged in all publications to reflect the unique contribution that they provide, and co-authorship of academic papers will be offered, consistent with University of Sydney policy on the matter. The research will be conducted in accordance with the National Health and Medical Research Council (NHMRC) guidelines for ethical research with Aboriginal people . Plain EThis study will provide benefits to Aboriginal people by enabling local health services to better understand and allocate resources to meet the needs of young Aboriginal people through the acquisition of more robust study data concerning how Sexual Health Services may best be delivered.The results of this study will be significant in informing urban health services on the needs of young Aboriginal people in terms of how they prefer to access public sexual health services and the barriers that currently exist that may prevent them from using existing services. Much of the research based both in remote areas and urban areas relies on the experiences of clinicians rather than the lived experience of young Aboriginal people themselves and may miss important aspects of interpretation that only occur when Aboriginal people share their insights. These insights will be deepened in this study by involving local Aboriginal people in the interpretation of the de-identified results of the study.This engagement project will provide a set of documents that will be informed by the local community and provide policy makers with practical measures that can be implemented to improve the cultural appropriateness and clinical care of young Aboriginal people. This study will also address important policy questions and directly inform on the delivery of healthcare to young Aboriginal people in urban settings."}
+{"text": "We read with great interest the study by Poncette et al on the dThe paper illuminaA survey found high levels of satisfaction among students participating in the elective module. Confidence levels, as well as the acquisition of knowledge and skills in digital health, were reported to be high. However, this analysis is subjective as it is based on the student\u2019s own opinion of their knowledge. In order to obtain more objective results, we recommend the assessment of individual skills by a standardized exam before and after participating in the module. Supplementing the opinion-based survey with exam performance may shed light on the actual perceived level of student competence while reducing selection bias. This would highlight the effectiveness of the course and give medical departments and universities more confidence to adopt digital health competencies in their curricula.We commend Poncette et al not onlyThe introduction of digital health competencies into the medical curricula remains key to the success of future physicians as shown by Poncette et al . Therefo"}
+{"text": "Cavernomas are rare cerebrovascular malformations that usually occur in sporadic forms with solitary lesions located most often in the hemispheric white matter, but also in the infratentorial or spinal region. Multiple lesions at different CNS levels are considered a hallmark for the familial form of the disease. The diagnostic modality of choice for cerebral cavernous malformations (CCMs) is magnetic resonance imaging (MRI). We present an intriguing case of a 65-year-old male admitted to our hospital with tetraparesis and cognitive impairment where highly sensitive MRI sequences identified many cerebral cavernous lesions at the supra-, infratentorial and cervical\u2013thoracic spine levels, some of them with recent signs of bleeding in a patient with oral anticoagulant therapy due to atrial fibrillation. The mechanism of cognitive impairment in this patient is most probably the interruption of strategic white matter tracts, as it is known to happen in other subcortical vascular pathologies. MRI can be helpful not only in mapping the anatomical distribution of lesions, but also in weighing the risks and making decisions regarding whether or not to continue oral anticoagulant therapy."}
+{"text": "Younger Onset Dementia (YOD) and Mild Cognitive Impairment (MCI) are relatively prevalent conditions globally which can affect the job performance of individuals in their working lives. This presentation considers the existing research documenting actual, stated or intended approaches taken by employers to managing and supporting employees with these conditions. Nine relevant research projects were identified based on an extensive exploration of the peer reviewed literature. These show that employers have some knowledge of dementia, but do not recognise this as a possible explanation when performance changes occur in the workplace. Employees typically leave or are removed from the workplace before a formal diagnosis or soon after. The literature shows both supportive and unsupportive behaviours toward employees. Drawing from this literature recommendations for increasing the quality of support provided to employees are offered: awareness training to foster earlier detection, clarification of these conditions as a disability, and application of methods to support employees to continue to contribute to the workplace while this is feasible and desirable from both the employer and the employee\u2019s perspective."}
+{"text": "The concern relates to the provenance of this article as brought to our attention by Faisal Alhawaj, who denies authorship of this article and others published in Cureus. These articles were submitted and subsequently published purportedly as an effort coordinated by Imam Abdulrahman Bin Faisal University to ensure all medical interns publish at least one peer-reviewed article in order to qualify for enrollment in a postgraduate residency program as stipulated by The Saudi Commission for Health Specialties (SCFHS).The journal has not been presented with enough evidence to warrant the formal retraction of these articles as both Imam Abdulrahman Bin Faisal University and The Saudi Commission for Health Specialties have failed to respond to numerous communications requesting additional information regarding these allegations. While we acknowledge that the provenance of these articles is very much in question, we cannot act until these claims have been investigated by the appropriate institutions with the results of said investigation communicated to Cureus.The concern and this note will remain appended to the above-mentioned article until Cureus is provided with official confirmation from Imam Abdulrahman Bin Faisal University or The Saudi Commission for Health Specialties."}
+{"text": "The concern relates to the provenance of this article as brought to our attention by Faisal Alhawaj, who denies authorship of this article and others published in Cureus. These articles were submitted and subsequently published purportedly as an effort coordinated by Imam Abdulrahman Bin Faisal University to ensure all medical interns publish at least one peer-reviewed article in order to qualify for enrollment in a postgraduate residency program as stipulated by The Saudi Commission for Health Specialties (SCFHS).The journal has not been presented with enough evidence to warrant the formal retraction of these articles as both Imam Abdulrahman Bin Faisal University and The Saudi Commission for Health Specialties have failed to respond to numerous communications requesting additional information regarding these allegations. While we acknowledge that the provenance of these articles is very much in question, we cannot act until these claims have been investigated by the appropriate institutions with the results of said investigation communicated to Cureus.The concern and this note will remain appended to the above-mentioned article until Cureus is provided with official confirmation from Imam Abdulrahman Bin Faisal University or The Saudi Commission for Health Specialties."}
+{"text": "The concern relates to the provenance of this article as brought to our attention by Faisal Alhawaj, who denies authorship of this article and others published in Cureus. These articles were submitted and subsequently published purportedly as an effort coordinated by Imam Abdulrahman Bin Faisal University to ensure all medical interns publish at least one peer-reviewed article in order to qualify for enrollment in a postgraduate residency program as stipulated by The Saudi Commission for Health Specialties (SCFHS).The journal has not been presented with enough evidence to warrant the formal retraction of these articles as both Imam Abdulrahman Bin Faisal University and The Saudi Commission for Health Specialties have failed to respond to numerous communications requesting additional information regarding these allegations. While we acknowledge that the provenance of these articles is very much in question, we cannot act until these claims have been investigated by the appropriate institutions with the results of said investigation communicated to Cureus.The concern and this note will remain appended to the above-mentioned article until Cureus is provided with official confirmation from Imam Abdulrahman Bin Faisal University or The Saudi Commission for Health Specialties."}
+{"text": "Population aging will inevitably bring an increasing burden of poor cognitive function. The risk factors for cognitive decline have been widely studied. Even though environmental hazards have the greatest adverse impacts on older adults and the existing evidence has shown that green space, air pollution, and weather have an impact on cognitive function, most of the studies were conducted in developed countries and limited to cross-sectional analyses. China has the largest aging population in the world so the research evidence from it can offer an insight to the study in other developing countries facing similar issues and inform future public health policy and disease control. Using the data from a nationally representative sample of adults aged 45 years and older from the three waves of China Health and Retirement Longitudinal Study (CHARLS 2011-2015) and China City Statistical Yearbook, this study estimated multilevel growth curve models for the effects of green space coverage, air pollution, and weather conditions on cognitive function and cognitive decline. It showed that after controlling for sociodemographic characteristics, built area green coverage rate was positively associated with cognition score at baseline, and higher annual minimum temperature was associated with faster decline in cognitive function. These effects did not substantially change after weekly total hours of physical activities and levels of social engagement were added and the interaction effects were examined between environmental conditions with them, respectively. More research on the mechanisms of the effects of environmental factors on cognition is needed such as the subgroup analyses."}
+{"text": "Lycopene is a C40 tetraterpene that is composed of eight isoprene units joined by regular head to tail bindings, except in the middle of the molecule, where tail to tail binding forms an asymmetric structure . Its abThis work was supported by the Incheon National University Research Concentration Professors Grant in 2021.The authors declare no conflict of interest."}
+{"text": "Adherence to Cumbria Northumberland Tyne and Wear NHS Foundation (CNTW) Trust physical health monitoring guidelines for a caseload of community forensic psychiatry patients residing at Westbridge supported accommodation was audited to identify areas for improvement in practice. It was also our aim to highlight the delay in obtaining non-urgent investigations due to the need to minimize COVID infection transmission risks.Data were collected from mental health and acute trust electronic records (Rio and ICE) of all patients taking antipsychotic medications currently care coordinated by the Westbridge Forensic Community Mental Health Team (FCMHT) between January 2020 and January 2021 (8 patients). Analysis of compliance with standards set by Trust guidelines was made.In the chosen audit period, compliance with physical health monitoring standards was below target of 100% . Reasons for non-compliance were unexpected restrictions in service availability and one omission of sending a prolactin levels request.The need for practice adaptation and advance planning by team in anticipation of potential delays was identified. Request for routine bloods and ECGs will now be made two months before the annual due dates to compensate for delays in the new process with plan to continue re-audit yearly."}
+{"text": "This study targeted junior high school kendo club members who have practice experience with elderly kendo practitioners and examined the image of the elderly and the related factors that intergenerational exchange through kendo brings to the junior high school members. Kendo is one of the traditional Japanese martial arts. The subjects in this research were 193 players who practiced with the elderly kendo practitioners in Osaka prefecture. As a result of factor analysis to clarify the structure of the image, the \"evaluation\" factor and the \"activity / competence\" factor were extracted as in the previous research, and it was suggested that the junior high school players generally had positive image regarding the elderly practitioners. As a result of logistic regression analysis to clarify the factors related to the high/ low scores in the image of elderly kendo practitioners, \"evaluation\" factor showed a significant relationship between \"intimacy with elderly practitioners\" and \"empathic interest\", and \"activity / competence\" factor indicated a significant relationship between \"gender\" and \"intimacy with elderly kendo practitioners.\" Although it is pointed out that the traditional style of kendo and the image of elderly kendo practitioners have a negative impact on children, it may be possible to control these factors through an appropriate guidance and approach depending on the children's stage of growth ."}
+{"text": "The concern relates to the provenance of this article as brought to our attention by Faisal Alhawaj, who denies authorship of this article and others published in Cureus. These articles were submitted and subsequently published purportedly as an effort coordinated by Imam Abdulrahman Bin Faisal University to ensure all medical interns publish at least one peer-reviewed article in order to qualify for enrollment in a postgraduate residency program as stipulated by The Saudi Commission for Health Specialties (SCFHS).The journal has not been presented with enough evidence to warrant the formal retraction of these articles as both Imam Abdulrahman Bin Faisal University and The Saudi Commission for Health Specialties have failed to respond to numerous communications requesting additional information regarding these allegations. While we acknowledge that the provenance of these articles is very much in question, we cannot act until these claims have been investigated by the appropriate institutions with the results of said investigation communicated to Cureus.The concern and this note will remain appended to the above-mentioned article until Cureus is provided with official confirmation from Imam Abdulrahman Bin Faisal University or The Saudi Commission for Health Specialties."}
+{"text": "The concern relates to the provenance of this article as brought to our attention by Faisal Alhawaj, who denies authorship of this article and others published in Cureus. These articles were submitted and subsequently published purportedly as an effort coordinated by Imam Abdulrahman Bin Faisal University to ensure all medical interns publish at least one peer-reviewed article in order to qualify for enrollment in a postgraduate residency program as stipulated by The Saudi Commission for Health Specialties (SCFHS).The journal has not been presented with enough evidence to warrant the formal retraction of these articles as both Imam Abdulrahman Bin Faisal University and The Saudi Commission for Health Specialties have failed to respond to numerous communications requesting additional information regarding these allegations. While we acknowledge that the provenance of these articles is very much in question, we cannot act until these claims have been investigated by the appropriate institutions with the results of said investigation communicated to Cureus.The concern and this note will remain appended to the above-mentioned article until Cureus is provided with official confirmation from Imam Abdulrahman Bin Faisal University or The Saudi Commission for Health Specialties."}
+{"text": "Stigma towards psychiatry feels rife within medical school and this extends from university life into clinical placements. Mental health remains an unattractive area of medicine and is frequently regarded as subpar by other specialists. Against existing literature, this study compares the authors first hand experiences over the last five years within medical school to evaluate how representative their experiences of stigma in psychiatry are for the wider community and published literature. The study aims to inform the wider discussion on this topic and offer areas where intervention may yield a better perception and hence uptake of this specialism.Literature review relating to the topic was completed. Studies pertaining to medical students and/or educators views and experiences of psychiatric medical education and clinical placement were included for discussion. A reflection on the first author's specific experiences to date of psychiatry and his intent to pursue psychiatric career was conducted, with careful reference to existing literature. This allowed validating personal experiences in light of shared experience within the medical community in various national and international settings.Arguably, some non-psychiatric clinicians do inadvertently set the scene early in medical school for the stigma that is to be thrust upon students. This builds upon prospective students ranking psychiatry low for satisfaction, prestige and stating it to be a \u2018pseudoscience\u2019 or words to that effect. The lack of understanding from junior medical students of the role of the psychiatrist sees them associating psychosocial education as equivalent to psychiatry. This reinforces the idea of psychiatry being grounded in sciences other than anatomy, biochemistry, physiology and pharmacology. On clinical placement, there is little cross-speciality support for those students who want to be psychiatrists and sometimes even lost opportunities for those publically aspiring towards psychiatry. Placements in psychiatry give students a better understanding of psychiatry but this does not seem to significantly change their career aspirations and this is rather defined from the admission stages.After comparing experience with literature, stigma towards psychiatry appears to be universal. It may be important to consider the types of students who are being attracted to medical school as currently students seem to have an intrinsic disinterest in psychiatry despite later becoming better informed through psychiatric placement. Culture is notoriously hard to change, particularly within medicine. This stigma exists both in the lay and medical communities with early potentially inaccurate lay views of psychiatry being validated and reinforced throughout medical school."}
+{"text": "The concern relates to the provenance of this article as brought to our attention by Faisal Alhawaj, who denies authorship of this article and others published in Cureus. These articles were submitted and subsequently published purportedly as an effort coordinated by Imam Abdulrahman Bin Faisal University to ensure all medical interns publish at least one peer-reviewed article in order to qualify for enrollment in a postgraduate residency program as stipulated by The Saudi Commission for Health Specialties (SCFHS).The journal has not been presented with enough evidence to warrant the formal retraction of these articles as both Imam Abdulrahman Bin Faisal University and The Saudi Commission for Health Specialties have failed to respond to numerous communications requesting additional information regarding these allegations. While we acknowledge that the provenance of these articles is very much in question, we cannot act until these claims have been investigated by the appropriate institutions with the results of said investigation communicated to Cureus.The concern and this note will remain appended to the above-mentioned article until Cureus is provided with official confirmation from Imam Abdulrahman Bin Faisal University or The Saudi Commission for Health Specialties."}
+{"text": "The concern relates to the provenance of this article as brought to our attention by Faisal Alhawaj, who denies authorship of this article and others published in Cureus. These articles were submitted and subsequently published purportedly as an effort coordinated by Imam Abdulrahman Bin Faisal University to ensure all medical interns publish at least one peer-reviewed article in order to qualify for enrollment in a postgraduate residency program as stipulated by The Saudi Commission for Health Specialties (SCFHS).The journal has not been presented with enough evidence to warrant the formal retraction of these articles as both Imam Abdulrahman Bin Faisal University and The Saudi Commission for Health Specialties have failed to respond to numerous communications requesting additional information regarding these allegations. While we acknowledge that the provenance of these articles is very much in question, we cannot act until these claims have been investigated by the appropriate institutions with the results of said investigation communicated to Cureus.The concern and this note will remain appended to the above-mentioned article until Cureus is provided with official confirmation from Imam Abdulrahman Bin Faisal University or The Saudi Commission for Health Specialties."}
+{"text": "The tendency of caregiving alone is increasing, and these solo caregivers often perceive caregiving responsibilities as a burden. Still, literature on positive aspects of caregiving shows that not all caregivers experience severe distress. Little is known on which factors make a difference in experiencing caregiving distress among solo caregivers. We focused on the empirical findings on the negative impact of social isolation on caregiver\u2019s mental health, examining if and how the intersection of solo caregiving and social isolation is related to severe caregiving stress among caregivers of older adults in Korea. We analyzed 501 family caregivers of older adults in Korea using survey data from the Care Work and the Economy research project (2018). We conducted ordinal logistic regression analysis. The findings show that solo caregivers with a lack of social time fall under the most at-risk group of caregivers in terms of experiencing severe stress whereas solo caregivers with enough social time did not show significantly higher stress compared to the reference group . Being socially isolated caregivers still had high levels of stress despite the division of care , implying the need to provide caregivers more time for social interaction with others. The current public long-term care insurance in Korea provides limited hours of in-home care aide services to enable aging in place of older adults. To reduce the social isolation of caregivers, it is necessary to extend the service hours and provide support, such as creating online caregiver networks."}
+{"text": "The 8th International Cancer Metastasis Congress through the Lymphovascular System: Biology & Treatment, was held from October 25\u201327, 2019 in San Francisco, California. This international conference was inaugurated in 2005 and has been successfully held biennially with several publications summarizing the biology and treatment of cancer metastasis. The last conference in 2017 was summarized in a special issue by Clinical and Experimental Metastasis , 4 with Cancer heterogeneity is discussed in the context of Breast Cancer Disparities in Outcomes; Unmasking Biological Determinates Associated with Racial and Genetic Diversity and CancThe diversity of cancer biomarkers further validate that cancer is heterogeneous as represented by several review articles on Detection of Cancer Metastasis: Past, Present and Future ; SentineBased on the heterogeneous array of biomarkers, personalized cancer therapy is developed against specific biomarkers for more accurate targeted therapy as represented by the two review articles on Precision Oncology for Breast Cancer through Clinical Trials and BrinThe role of cancer microenvironment exerts a selective force akin to Darwin\u2019s natural selection \u201318 in thCancer clones may escape the primary site and spread initially to the sentinel lymph node as summarized in the Donald L. Morton\u2019s Memorial Lecture: The Legacy of Donald Morton: Past, Present and Future to suggeThe molecular mechanism of cancer metastasis through the lymphatic versus blood vessels is still not well understood. An attempt has been made to summarize what we know to date relating to the mechanisms of cancer metastasis in the following review articles on Mechanisms of Breast Cancer Metastasis ; The LymThe role of lymph node dissection and systemic treatment for a positive sentinel lymph node biopsy are discussed in depth using the model of melanoma, entitled Current Management of Melanoma Patients with Nodal Metastases . In-tranAdditional novel imaging of cancer is illustrated by Emerging Photoacoustic and Thermoacoustic Imaging Techniques for Detecting Primary and Metastatic Cancer and Guiding Therapy . Novel rFurther, innovations in radiotherapy are described in Innovations in Radiotherapy and Advances in Immunotherapy for the Treatment of Brain Metastases . Check pSecondary Lymphedema Related to Cancer Treatment by Surgery or Radiotherapy is an important topic relating to the treatment complication of cancer .The biological events of cancer development with mutation and cancer evolution\u00a0as well as the molecular mechanisms of cancer metastasis may be more accurately correlated and\u00a0defined\u00a0by the adoption of artificial intelligence as summarized in the review article on Empowering Study of Breast Cancer Data with Application of Artificial Intelligence Technology: Promises, Challenges, and Use Cases .This Special Issue: Novel Frontiers in Cancer Metastasis emphasizes that cancer is a heterogeneous disease resulting from genetic mutations or epigenetic changes . Such he"}
+{"text": "The Eastern and Western Mediterranean are separated by an elevated plateau that regulates water exchange between these two basins. The Maltese archipelago, situated atop this topographic high, offers a unique window into the evolution of this plateau in the lead up to the Messinian Salinity Crisis. The Upper Coralline Limestone Formation was deposited between the late Tortonian and the early Messinian and was probably terminated by palaeoceanographic events related to the Messinian Salinity Crisis. It represents the youngest Miocene sedimentary deposits outcropping in the Maltese archipelago. This shallow\u2010water carbonate unit can be used to trace palaeoenvironmental changes atop the sill between the Eastern and Western Mediterranean and to explain the possible water flow restrictions to the Eastern Mediterranean that could have preceded the Messinian Salinity Crisis. Here field surveys, and analysis of the depositional environment within the Upper Coralline Limestone in Malta, are combined with recently acquired multichannel seismic reflection profiles between Malta and Gozo, to reconstruct the depositional sequence in the Malta Plateau during the late Miocene. The Upper Coralline Limestone consists of multiple coralline and larger benthic foraminifera dominated facies, extending from subtidal to intertidal environments. These accumulated in two depositional cycles observed in both outcrop and seismic reflection data. Each cycle exhibits an early aggradation\u2013progradation phase followed by a progradation phase and a final aggradation phase. These manifest themselves in the outcrops as shallowing and deepening upwards phases. These were deposited above a deep water unit and are indicative of a preceding uplift phase followed by filling of the accommodation space through the deposition of the Upper Coralline Limestone Formation in shallow marine depths. The presence of this highly elevated sill during the late Miocene could have restricted circulation to the eastern basin. The Upper Coralline Limestone formation in Malta offers a unique look at the gateway between the West and East Mediterranean in the period before the Messinian Salinity Crisis (MSC). Here we revisit this unit using both field bases sedimentological analysis and seismic imaging to document the evolution of this sequence. The findings illustrate the ongoing uplift of the barrier between the basins before the MSC. This mineral assemblage suggests that material had been recrystallised at some point post\u2010deposition. The absence of dolomite suggests an open system that allowed removal of the Mg. The implication of this would be that any geochemical analysis would inform of the diagenetic rather than the primary conditions , and the known eustatic sea\u2010level patterns (Miller et al., The emplacement of two cycles of shallow\u2010water deposits in the UCL formation, terminating near sea level, indicates that accommodation space was available for the establishment of two depositional cycles and topography fill by a carbonate factory. The fact that a C\u2010type factory is dominant in Malta at this time, while in other regions of the Mediterranean T\u2010type factories are still dominant Follows, , does su6Over the late Miocene, the area around the Maltese Archipelago has experienced a significant uplift. The uplift raised the Maltese Islands to a water depth that allowed the emplacement of a shallow\u2010water carbonate unit in the form of the UCL Formation. This unit was deposited during two depositional cycles, with both cycles characterised by a strong tendency towards filling the available accommodation space typical of C\u2010type carbonate factories. The mode of emplacement and overall geometry suggests a very shallow position of the Malta Plateau, conforming to an existing tectonic structure already present in the late Miocene. This uplift appears to have played a role in restricting connectivity of the water masses between the east and the west Mediterranean prior to the onset of the MSC and could have played an important role in triggering halite deposition in the larger Eastern Basin prior to salt deposition in the Western Basin. This uplift would have restricted flow to the Eastern Basin at a time when the Western Basin was still relatively well\u2010connected to the Atlantic Ocean and probably played a pivotal role in the observed differences in deposits between the two basins during the MSC.Figure S1Figure S2Figure S3Click here for additional data file."}
+{"text": "Gratitude is foundational to well-being throughout the life course, and an emerging body of work suggests that older adults may be more inclined to attribute gratitude to a non-human target (God). Drawing on life course theory and Erikson\u2019s lifespan development framework, we use data from a national sample of Christian older adults from the United States to examine whether gratitude towards God buffers the noxious health effects of the death of a loved one or personal illness. Results suggest that gratitude towards God tends to predict better age-comparative and global self-rated physical health in the aftermath of stress, a moderation effect which is partially mediated by stronger beliefs in God-mediated control . We conclude by proposing some interventions for clinicians and counselors centered around gratitude and religiosity that may assist older adults in coping with major life stressors."}
+{"text": "From December 2020 \u2013 February 2021 we conducted 32 semi-structured interviews with Veterans who responded to our initial and follow-up surveys and agreed to discuss their cannabis use. We coded and themed the interviews using inductive thematic analysis. We found that many Veterans are using cannabis in place of other medications such as opioids and benzodiazepines and often do so to avoid the negative side effects. However, barriers such as Veterans Administration policies and cost of medical cannabis affect Veterans ability to obtain medical cannabis. Our results inform clinicians and policy makers on the use of cannabis as an alternative to prescription medications for treating chronic pain and other conditions in older Veterans."}
+{"text": "We discuss a stepwise approach using properties of the conduction system to diagnose the patient\u2019s tachycardia. The presenting ECG is shown in Figure 2The ECG in Figure The most challenging part of interpreting a WCT is determining whether the mechanism is due to aberrant conduction versus VT, especially in light of a history of prior myocardial infarction. While there are numerous algorithms to help differentiate between the two,Shortly after the ECG in Figure The authors have nothing to disclose."}
+{"text": "The importance of Public Involvement (PI) is increasingly being recognized in the field of dementia research. In 2012, Alzheimer Europe set up the European Working Group of People with Dementia (EWGPWD) which provides advice and input for all activities of the organization including several large European-funded research projects. The German Center for Neurodegenerative Diseases (DZNE) created a research advisory patient board in 2020 with the intention of supporting the board in strategic research decisions. Both groups are composed of people with dementia and act independently. With the aim of finding out whether PI in research is mutually rewarding and beneficial, members of both groups were asked about their motivation to be involved in PI research activities and the value this had for them. This was collected either through narrative interviews or during meetings. People with dementia described several reasons for being involved in PI activities in dementia research."}
+{"text": "The concern relates to the provenance of this article as brought to our attention by Faisal Alhawaj, who denies authorship of this article and others published in Cureus. These articles were submitted and subsequently published purportedly as an effort coordinated by Imam Abdulrahman Bin Faisal University to ensure all medical interns publish at least one peer-reviewed article in order to qualify for enrollment in a postgraduate residency program as stipulated by The Saudi Commission for Health Specialties (SCFHS).The journal has not been presented with enough evidence to warrant the formal retraction of these articles as both Imam Abdulrahman Bin Faisal University and The Saudi Commission for Health Specialties have failed to respond to numerous communications requesting additional information regarding these allegations. While we acknowledge that the provenance of these articles is very much in question, we cannot act until these claims have been investigated by the appropriate institutions with the results of said investigation communicated to Cureus.The concern and this note will remain appended to the above-mentioned article until Cureus is provided with official confirmation from Imam Abdulrahman Bin Faisal University or The Saudi Commission for Health Specialties."}
+{"text": "The concern relates to the provenance of this article as brought to our attention by Faisal Alhawaj, who denies authorship of this article and others published in Cureus. These articles were submitted and subsequently published purportedly as an effort coordinated by Imam Abdulrahman Bin Faisal University to ensure all medical interns publish at least one peer-reviewed article in order to qualify for enrollment in a postgraduate residency program as stipulated by The Saudi Commission for Health Specialties (SCFHS).The journal has not been presented with enough evidence to warrant the formal retraction of these articles as both Imam Abdulrahman Bin Faisal University and The Saudi Commission for Health Specialties have failed to respond to numerous communications requesting additional information regarding these allegations. While we acknowledge that the provenance of these articles is very much in question, we cannot act until these claims have been investigated by the appropriate institutions with the results of said investigation communicated to Cureus.The concern and this note will remain appended to the above-mentioned article until Cureus is provided with official confirmation from Imam Abdulrahman Bin Faisal University or The Saudi Commission for Health Specialties."}
+{"text": "I am delighted to announce this new Methods X Article Collection on Groundwater on the occasion of the World Water Day 2022 dedicated this year to highlight the importance of this water resource.Groundwater constitutes about 30% of the world's freshwater resources. From the other 70% nearly 69% is captured in the ice caps and mountain snow and glaciers and only 1% is located in rivers and lakes. The thing is that according to these figures, groundwater is one of the keys to sustainability of world water resources and there is an urgent need to apply better management practices. Groundwater is extensively used worldwide for domestic, industrial, and agricultural purposes. In this sense both urban and rural areas rely on groundwater resources to meet their water demands. Over-exploitation of groundwater resources reduces water availability and results in negative impacts on groundwater-dependent ecosystems, such as springs and wetlands. In short, the main negative impacts to groundwater quality are caused by saline intrusion, the entrance of chemicals by diffuse sources, i.e., agricultural practices, by point sources such as the leaking of city sewage pipelines and lastly by inefficient waste management practices originated in landfills and other industrial activities like mining.-Conceptual model to include a broad range of emerging contaminants groundwater monitoring programs-Advances in mass spectrometric instrumentation to determine emerging organic contaminants and arsenic in groundwaters-Health risk assessment of nitrate leachates from agriculture and its impact on groundwater resources in mountainous catchments and as a source for drinking water-Hazard assessment models to predict and manage the impact of different types of landfills in groundwater resources-Water quantity and hydrological investigations using numerical and mechanistic models to investigate the groundwater potential zone of the aquifers-River and groundwater model algorithms for simulating the response of river water temperature to urban greeningBased on everything has been said groundwater quality and quantity issues are the major challenges identified and are discussed in the twelve papers selected in this article collection. These papers were published in the last few years in Methods X and evaluate practical aspects and state of the art methodologies such as:Examples reported here describe many different aspects related to groundwater research challenges. The first example discusses the need to develop a conceptual model that integrates various monitoring programs covering a broad range of organic wastewater contaminants like pesticides, pharmaceuticals and personal care products among others. The following two papers report mass spectrometric (MS) methods such as the use of liquid chromatography-MS coupled to solid phase extraction for the analysis of ubiquitous pesticides like atrazine and metolachlor or the application of inductively coupled plasma-MS for the determination of arsenic species. Nitrate contamination of groundwaters is a global problem not only in catchment level but also for drinking water purposes and it also part of this article collection. A drinking water quality index that includes nitrates and other anions and cations has been proposed in one of the papers selected. The impact of landfill leachate plumes on ground water has been in the environmental agenda for quite some time. Examples reported here include industrial and municipal waste and sanitary landfills as well as models for landfills selection sites according to a comprehensive list of criteria such as land use, protected area, surface water and groundwater resources in the potential landfill location. The last examples reported in this collection are related to water quantity and hydrological investigations. Needless to say that stochastic and mechanical models are generally used to predict groundwater availability considering aquifer recharge and evapotranspiration among other variables. Location of groundwater potential zones is of great importance in order to unequivocally identify the quantity of ground water resources in certain geographical area. A river and groundwater model algorithm that captures the warming and cooling impact of urban development and restoration through a water and energy budget is described in the last paper of this article collection.That being said I would like to thank all authors of these twelve contributions to Methods X in compiling such a timely article collection. Needless to say that this groundwater collection papers will be of help to environmental scientists, specially hydrologists as well as newcomers, PhD students and those senior researchers who consider groundwater as one of the world resources that needs protection.Ultimately I have the pleasure to announce a Virtual Special Issue on Groundwater to celebrate this World Water Day 2022. This will allow authors who had not the opportunity to be part of this VSI that is now released as well as to previous authors who contributed to this Methods X article collection to update and publish their recent methods. Submission window will be open from March 20 till October 31st 2022.As always, thanks for reading and stay safe and healthy!"}
+{"text": "Sexual dysfunction should be enquired about as a symptom of mental health disorders and as side effects of commonly used psychotropic drugs. We audited against NICE guidelines the record of sexual dysfunction discussion at initial assessment and follow-up by the community mental health recovery service (CMHRS).Research reports that sexual dysfunction occurs more often in individuals with serious mental illnesses including depression and schizophrenia. Sexual dysfunction is also a reported side effect of antidepressant and antipsychotic medications. NICE guidelines recommend assessment of biological symptoms of mental health disorders and discussion of potential side effects of treatments being considered prior to initiation and at follow-up.Our sample consisted of 71 patients, all new patient assessments from referrals made to CMHRS between January 1st and March 31st 2019.We reviewed all initial assessment and follow-up electronic notes and any correspondence generated from these meetings.Our results showed that no record was made of sexual dysfunction as present or absent by health care professionals (HCPs) completing initial assessment or follow-up.We surveyed the HCPs from the team and observed a high level of confidence in discussing sexual dysfunction and high self report of this discussion being conducted.Our audit results show no records of the discussion of sexual dysfunction, we held to the principal that in absence of record the discussion did not take place. Our survey results suggested that HCPs were confident they do assess for sexual dysfunction. We wondered, therefore, if HCPs would be less likely to make record in the event that symptoms are denied, recognizing that the list of potential symptoms and side effects is extensive and documentation of all negative results would be time consuming.Our audit results may show then, that sexual dysfunction is not present in any of the sample; however this would contrast to research findings of higher than average rates of sexual dysfunction in groups with serious mental illness and those using antidepressants or antipsychotics.We propose further assessment is needed for the disparity between our and recognised rates of sexual dysfunction.We propose the standard that recording \u2018absence of biological symptoms\u2019 of mental health disorders or recorded supply of medicine information leaflets are adequate record. We also made suggestions for training and recording to assist HCPs initial assessment."}
+{"text": "Ottawa Charter for Health Promotion provided a template that has fundamentally re-shaped public health practice in the past 35\u2009years . WHO\u2019s priorities include achieving Universal Health Coverage (UHC): responding successfully to global health emergencies (including COVID-19); and creating healthier populations .Shanghai Declaration by exploring law and urban governance through the paper by Burris and Lin; and the future evolution of health literacy by S\u00f8rensen and colleagues as a worThe paper by Hancock and colleagues examines a further key challenge emerging from the task of positioning health promotion methods and strategies at the heart of actions required to achieve the UN SDGs by advancing planetary health promotion through local-level actions (Finally, we have two papers that explore emerging issues in health promotion examining evolving concepts in health and wellbeing by Corbin and colleagues; and Digital Health Promotion by Lim and colleagues (et al. examines the potential benefits and challenges of digital technology for current and future health promotion strategies. The benefits include expanding access to health information and health-promoting services, as well as lowering the cost of scaling up activities to reach larger populations. It also highlights key challenges including the growth of misinformation and disinformation through digital media; and ensuring widespread accessibility and affordability to digital technology in ways that minimize social inequities.The paper by Lim Taken together this set of papers provides an overview of several key transformations facing the global community and suggests pathways for the application of health promotion methods and strategies to meet these challenges. This collection of papers reflects the evolving local and global contexts and emerging priorities for health promotion. Insofar as promoting health is one of the three strategic priorities for the WHO\u2019s 13th General Programme of Work, the papers point to the evolution of our paradigm about health\u2014i.e., shifting from disease to risk factors to determinants, and from individual, through social to planetary health and wellbeing. Research, policy and practice in health promotion will need to similarly evolve to keep up with these emerging health challenges and changing contexts.The authors alone are responsible for the views expressed in this article and they do not necessarily represent the views, decisions or policies of the institutions with which they are affiliated."}
+{"text": "I am reading the paper of Sanoglioni et al. aiming to to identify to evaluate the usefulness of left atrial (LA) reservoir strain for risk stratification of asymptomatic patients with moderate aortic stenosis . In rece"}
+{"text": "Many studies show that cultural perspective is an important factor in caring for elderly tribal adults. To understand the level of attention that the Cultural Health Station of Indigenous People attaches to culture during its operation, this study selected Taitung County as the region of study. A qualitative focus group research method and quantitative questionnaire, we try to understand \u201cWhat are the demands of elderly tribal adults?\u201d \u201cDo services provided by the Tribal Cultural Health Station satisfy the demands of elderly tribal adults?\u201d and \u201cWhat are the gaps between the service demands and provided to elderly tribal adults?\u201d The results showed that service providers believe that culture is markedly important to elderly tribal adults, that culture-based care designs offered by the Tribal Cultural Health Station is currently insufficient, and that to enhance the capacity of the multiethnic Tribal Cultural Health Station, the cognition and understanding of policy makers and enforcers must be elevated."}
+{"text": "The number of people in the United States with dementia is increasing, with nearly six million people living with Alzheimer\u2019s disease and related dementias. It is the fifth leading cause of death for those aged \u226565 years. Over 95% of people with dementia have another comorbid chronic condition. The Healthy Brain Initiative\u2019s State and Local Public Health Partnerships to Address Dementia: The 2018-2023 Road Map notes that public health agencies should raise awareness of the link between brain health and physical health, and specifically calls out tobacco prevention and control, cardiovascular health management diabetes prevention and management, obesity prevention and control, and injury prevention as intervention points. The National Association of Chronic Disease Directors developed brain health messages targeted to reduce risk for cognitive decline through the prevention and control of comorbid chronic conditions. These messages can be leveraged for public health action by integrating them into existing chronic disease programs."}
+{"text": "The aim of this study was to explore experiences of consultations with non-specialist health professionals in a group of young people with ASD and their parents and what they considered would help to improve these interactions.Research has shown that general awareness around autism is poor among the general medical community and this can result in poor communication during medical consultations.An opportunistic group of 4 young people with ASD and 8 parents from a local support group in Exeter were interviewed in an informal environment about their experiences of healthcare consultations after seeking verbal consent.Among the 8 parents interviewed the themes emerging were a deep lack of understanding and awareness among medical staff of the challenges faced by individuals with autism, the importance of the doctor-patient relationship to allow children to open up to healthcare professionals, and the need for all children to be respected as individuals.Among the 4 young people (13 to 19 years) with ASD interviewed they identified significant anxiety around waiting for appointments and expressed a desire for a distractor to relieve stress, questions posed by clinicians were often vague and should be clearer, 3D models/mannequins could be useful to support understanding of anatomy and physiology, patience and a calm demeanour were vital with a quiet clinical environment to avoid distraction, time for mental preparation is important and efforts should be made to avoid delays or cancellation of appointments where possible.An interactive website was generated in the light of feedback from the client group and their parents, aiming to educate clinicians regarding the challenges faced by this client group and provide a guide suggesting how to facilitate effective consultation through the use of simple techniques to promote engagement/reduce anxiety in the clinical environment.Simple changes to the approach to consultation with clients with ASD - a quiet consultation space, no delays and better communication - could reduce stress and promote positive interactions with a beneficial effect on healthcare delivery for this client group."}
+{"text": "The concern relates to the provenance of this article as brought to our attention by Faisal Alhawaj, who denies authorship of this article and others published in Cureus. These articles were submitted and subsequently published purportedly as an effort coordinated by Imam Abdulrahman Bin Faisal University to ensure all medical interns publish at least one peer-reviewed article in order to qualify for enrollment in a postgraduate residency program as stipulated by The Saudi Commission for Health Specialties (SCFHS).The journal has not been presented with enough evidence to warrant the formal retraction of these articles as both Imam Abdulrahman Bin Faisal University and The Saudi Commission for Health Specialties have failed to respond to numerous communications requesting additional information regarding these allegations. While we acknowledge that the provenance of these articles is very much in question, we cannot act until these claims have been investigated by the appropriate institutions with the results of said investigation communicated to Cureus.The concern and this note will remain appended to the above-mentioned article until Cureus is provided with official confirmation from Imam Abdulrahman Bin Faisal University or The Saudi Commission for Health Specialties."}
+{"text": "The number of older adults with intellectual and developmental disabilities (IDD) in the U.S. is expected to double and potentially triple by 2030. Despite this demographic urgency, there continues to be a lack of research directly addressing aging of people with IDD. Individuals with IDD have on average twice as many health problems than others without IDD, experience earlier age-related declines in health and function than the general population and are more likely to develop secondary conditions as they age. The increase in the number of people aging with IDD and the challenges experienced by this population have demanded new directions for research, practice and policy that promote social justice and improve this population\u2019s health and well-being. This symposium brings together research that critically examines and calls for a \u201cnew normal\u201d of supports for healthy aging provided to the population aging with IDD. The first presentation consists of a systematic review of healthy aging interventions for adults with IDD. The authors conclude that such interventions for adults with IDD remain scarce, incipient and sporadic. The second presentation critically reviews an interprofessional education model aimed to address the complex and unique needs of older adults with IDD and dementia. The authors provide recommendations for the future development of interprofessional education in this field. In the third and final presentation the authors offer further transformation toward a new normal as they outline future directions for research on aging with IDD that is informed by positive psychology and disability studies theory."}
+{"text": "During the recovery, investing in gender equality is essential: it will lead directly to higher GDP and indirectly to increase human capital and promote a sustainable society.Or Women as economic agents may themselves have an impact on policies: the changing role of women in families and societies and their greater representation in decision making positions contribute to focusing and redirecting the policy agenda toward items that ultimately reduce gender gaps."}
+{"text": "The psychodynamic approach views human behavior from the standpoint of unconscious motives that influence personality functioning. In contrast with a nosological approach, the emphasis is on tracing behavior to its origins, fostering a deeper understanding of what is \u201cbehind\u201d the overt signs and symptoms of disorder (Vaillant, The impact of a dynamic approach in psychotherapy is largely documented (Midgley et al., The health emergency we are experiencing due to COVID-19 has strongly influenced not only physical health but also the mental health of the general population as well as collective behavior (Gray et al., Due to uncertainty surrounding COVID-19, collective distress and individual suffering, the psychodynamic approach may be able to consistently identify and manage stressful life-event dynamics (Afari et al., In this opinion article the relevance of the implementing psychodynamic approach in the prevention of individuals' mental health during the ongoing COVID-19 crisis has been highlighted. In accordance with Mar\u010dinko et al. , the incad hoc effective interventions. The systematic assessment of unconscious psychological aspects of personality should be promoted for the early detection of vulnerable individuals and for improving research and clinical practice toward a personalized therapeutic approach (Lingiardi and McWilliams, Understanding how the ongoing pandemic is influencing human reactions to such a stressful event is essential for developing The author confirms being the sole contributor to this work and approves it for publication.The author declares that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Stress distribution pattern around dental implants is an important determinant for rate of bone resorption around them. During planning the treatment for most prosthetic rehabilitations, the surgeon uses a software to virtually plan the dimension, position and angulation of the implants considering only the quantity of available bone in the area of interest but does not usually consider the strain generated around the implants after prosthetically loading them. We hence hypothesise that dental implants not be subjected to abnormal strain they should be positioned and angulated not only based on volume of bone available but also based on the vector of occlusal load. The virtual FEA model to analyse the stress distribution would hence require alveolar bone with future tooth/ teeth in centric relation to be modelled. This paper proposes a simple innovative technique to develop a 3D FE model of occlusal loading surface by using a radio-opaque malleable lead foil to generate a patient specific FE model. This would greatly minimise modelling errors and also help determine the best position of the dental implant based on both the volume of bone in the CT scan and the results of FE analyses. Specifications table*Method detailsThe dental implants are often positioned in the jaws using 3D printed implant positioning surgical guides. The surgeon uses the software to plan the angulation and position of the implants considering only the quantity of available bone in the area of interest but not the strain which would be generated around the positioned dental implants, a vital factor for long-term success of the treatment executed.During the replacement of a single missing tooth, loading vectors are usually along the long axis of the implant Hence, we hypothesise that dental implants not be subjected to abnormal strain, it should be positioned and angulated not only based on volume of bone available but also based on the vector of occlusal load.The problem though is to relate the loading vector to the strain generated around the implants. The only logical way is to relate the position of teeth (loading point) and the available bone for implant placement. When there is a single tooth or multiple teeth missing, it is not possible to model load application point. It requires a patient specific FEA analyses of a virtual model of the alveolar bone with future tooth/ teeth in centric relation, which is a customised position of teeth in the patient's upper and lower jaw at rest.This paper proposes a simple innovative technique to develop a 3D FE model by delineating the occlusal loading points using a radio-opaque malleable lead foil and then generate a patient specific FE model to determine the best position of the dental implant based on both the volume of bone in the CT scan and the results of FE analyses.The proposed process is executed after an informed consent from the patients requiring functional rehabilitation. Practical clinical prosthetic problems for functional rehabilitations of jaws are of two kinds. One rehabilitating a single missing tooth and other multiple missing teeth/completely edentulous patient. This novel method of generating FE model using this lead foil is a versatile technique and is applicable to both scenarios. The current proposed procedure has been clinically applied in 4 patients requiring single tooth replacements in the four quadrants of the mouth and one patient requiring full maxillary arch rehabilitation. The material properties assigned during creation of FE model is given in The entire concept behind the generation of this technique is to reduce the modelling errors as much as possible. It mimics the reality by incorporating the real material properties and as much architectural features as possible so that results achieved after FE analyses would mimic real-time biomechanical scenario and hence highly reliable. The masticatory apparatus of every human is unique and hence it generates anatomically specific loads of varying magnitude and direction. Every point load on the facial skeleton be it on the maxilla, mandible or surface of teeth, generate unique stress pattern, based on which rehabilitation is to be planned.The precision with which the FE models are generated by this method is very much appreciable. The occlusal surface models depict accurate anatomy mimicking reality. Hence it gives an opportunity for the researcher to customise load application points to individual teeth cuspal levels so that loading conditions can also be modified by altering the design of cusps of individual teeth in case of increased strain noted around the dental implants on loading on specific occlusal points. The technique is inexpensive, does not require high skill or training. It is reproducible under various scenarios with similar clinical problems, requiring biomechanical 3D FE model generation for customised load application points.A possible disadvantage of this current proposed procedure is the requirement of 2 CBCT examinations during the complete treatment. An improvisation of the current proposed protocol would be to take a CBCT using the existing removable prosthesis for generation the FEA model of the occlusal loading points using the lead foil crown delineation technique along with assessment of bone volume and custom fabricate surgical stent to position the implants in accordance to the FEA results. This would hence reduce the requirement from 2 CBCT to a single CBCT as proposed in the current protocol.The success of any functional rehabilitation is measured in terms of its precision, longevity and efficacy. Surgeon planning for rehabilitation, should be aware of the biomechanical perspectives of treatment planning. The biomechanical engineer should understand the bone biomechanics from macro and micro perspectives so that rehabilitation withstands multidimensional load. The proposed patient specific FE model generation of occlusal load application points using lead foil crown delineation technique is a precise, inexpensive, versatile and simple solution in scenarios requiring complex virtual simulations of varied loading points to mimic reality. Thus, the accuracy of finite element analyses would increase with customised patient specific model generation.Even though the proposed technique aims to optimise loading around dental implants based on FE analyses to minimise bone loss during function, a study is required to compare the results of the proposed procedure to conventional implant based on volume of bone alone.Additional material:Biomechanical considerations in functional treatment planning using dental implantsFor a patient requiring maxillofacial functional rehabilitation with dental implants, its architectural complexity should be seen from both the surgeon's and bioengineer's perspective. Such multidisciplinary approach would provide a customised comprehensive rehabilitative solution. Precision, efficacy and longevity of functional rehabilitation of jaws are dependent on both primary mechanical stability of a dental implant and osseointergration. The position and angulation of a dental implant determines the stress distribution pattern for a given load around it which over a period of time determines the pattern of bone resorption around it and hence the stability of an implant The authors declare that they have no known competing financial interests or personal relationships that could have appeared to influence the work reported in this paper."}
+{"text": "The concern relates to the provenance of this article as brought to our attention by Faisal Alhawaj, who denies authorship of this article and others published in Cureus. These articles were submitted and subsequently published purportedly as an effort coordinated by Imam Abdulrahman Bin Faisal University to ensure all medical interns publish at least one peer-reviewed article in order to qualify for enrollment in a postgraduate residency program as stipulated by The Saudi Commission for Health Specialties (SCFHS).The journal has not been presented with enough evidence to warrant the formal retraction of these articles as both Imam Abdulrahman Bin Faisal University and The Saudi Commission for Health Specialties have failed to respond to numerous communications requesting additional information regarding these allegations. While we acknowledge that the provenance of these articles is very much in question, we cannot act until these claims have been investigated by the appropriate institutions with the results of said investigation communicated to Cureus.The concern and this note will remain appended to the above-mentioned article until Cureus is provided with official confirmation from Imam Abdulrahman Bin Faisal University or The Saudi Commission for Health Specialties."}
+{"text": "The African Immigrant Dementia Education project is a community-university partnership with the goal of developing a culturally tailored dementia education program with African immigrants in Minnesota. In collaboration with our community partner , a project advisory board that features professionals and family members from the African immigrant community was assembled and its first meeting was held in February 2021. Preliminary discussions about content, mode of delivery and cultural considerations of an eventual dementia education intervention have begun. This presentation will offer details on the process of working with an advisory board and community partner to identify and culturally tailor an evidenced-based dementia education curriculum for a unique cultural group. Also, we will present challenges encountered during this process and offer suggestions and strategies to promote successful researcher-community partnerships."}
+{"text": "The concern relates to the provenance of this article as brought to our attention by Faisal Alhawaj, who denies authorship of this article and others published in Cureus. These articles were submitted and subsequently published purportedly as an effort coordinated by Imam Abdulrahman Bin Faisal University to ensure all medical interns publish at least one peer-reviewed article in order to qualify for enrollment in a postgraduate residency program as stipulated by The Saudi Commission for Health Specialties (SCFHS).The journal has not been presented with enough evidence to warrant the formal retraction of these articles as both Imam Abdulrahman Bin Faisal University and The Saudi Commission for Health Specialties have failed to respond to numerous communications requesting additional information regarding these allegations. While we acknowledge that the provenance of these articles is very much in question, we cannot act until these claims have been investigated by the appropriate institutions with the results of said investigation communicated to Cureus.The concern and this note will remain appended to the above-mentioned article until Cureus is provided with official confirmation from Imam Abdulrahman Bin Faisal University or The Saudi Commission for Health Specialties."}
+{"text": "The concern relates to the provenance of this article as brought to our attention by Faisal Alhawaj, who denies authorship of this article and others published in Cureus. These articles were submitted and subsequently published purportedly as an effort coordinated by Imam Abdulrahman Bin Faisal University to ensure all medical interns publish at least one peer-reviewed article in order to qualify for enrollment in a postgraduate residency program as stipulated by The Saudi Commission for Health Specialties (SCFHS).The journal has not been presented with enough evidence to warrant the formal retraction of these articles as both Imam Abdulrahman Bin Faisal University and The Saudi Commission for Health Specialties have failed to respond to numerous communications requesting additional information regarding these allegations. While we acknowledge that the provenance of these articles is very much in question, we cannot act until these claims have been investigated by the appropriate institutions with the results of said investigation communicated to Cureus.The concern and this note will remain appended to the above-mentioned article until Cureus is provided with official confirmation from Imam Abdulrahman Bin Faisal University or The Saudi Commission for Health Specialties."}
+{"text": "The concern relates to the provenance of this article as brought to our attention by Faisal Alhawaj, who denies authorship of this article and others published in Cureus. These articles were submitted and subsequently published purportedly as an effort coordinated by Imam Abdulrahman Bin Faisal University to ensure all medical interns publish at least one peer-reviewed article in order to qualify for enrollment in a postgraduate residency program as stipulated by The Saudi Commission for Health Specialties (SCFHS).The journal has not been presented with enough evidence to warrant the formal retraction of these articles as both Imam Abdulrahman Bin Faisal University and The Saudi Commission for Health Specialties have failed to respond to numerous communications requesting additional information regarding these allegations. While we acknowledge that the provenance of these articles is very much in question, we cannot act until these claims have been investigated by the appropriate institutions with the results of said investigation communicated to Cureus.The concern and this note will remain appended to the above-mentioned article until Cureus is provided with official confirmation from Imam Abdulrahman Bin Faisal University or The Saudi Commission for Health Specialties."}
+{"text": "The parasacral TENS has been used to treat OAB in children however, the periodicity with which it should be carried out has not been yet standardized. This is a randomized clinical trial designed to compare two and three times weekly TENS (20 sessions of 20 min each at 10 Hz.) in children with OAB. The study included children of at least four years of age with a diagnosis of pure OAB based on ICCS definition (Sixteen children were included in the twice-weekly group and eighteen in the three times weekly group . There wBoth groups experienced an improvement in symptoms of urgency and urge incontinence. Evaluation of the bladder diary showed no difference in mean urinary frequency, mean urine volume voided or maximum urine volume voided between the two groups.Based on the results, the study suggested that it is possible to administer parasacral TENS twice a week, since there was a significant reduction in lower urinary tract symptoms in both groups.Parasacral TENS has emerged as an effective non invasive treatment for OAB in view of its success rates in improving lower urinary tract symptoms without direct side effects. However, periodicity and comparison between applications conducted at home or an outpatient basis have not been yet defined. Considering that issues of cost effectiveness and adherence must be considered and put on the table in light of the evidence, more randomized clinical trials with a larger number of patients are necessary for better standardization of the technique."}
+{"text": "The link between the migration of cancer cells and the spread of cancers has been established for many years. Tumour invasion and metastasis was labelled as one of the original Hallmarks of Cancer in the seminal paper written by Hanahan and Weinberg at the turn of the century . The defThe tumour microenvironment (TME) is made up of complex mixture of tumour cells and stromal derived cells but also containing a modified extracellular matrix (ECM). The ECM is the major structural component of the body comprised of proteins, glycoproteins, glycosaminoglycans and other polysaccharide in a network which would be able to host tumour cells (seed and soil theory) and control whether the tumour will be able to grow and metastases or not be able to move freely through a tissue ,4. ModulModulation of the ECM can also initiate the release of cytokines and growth factors that can stimulate pathways that allow for cells to migrate whether in single cells or as sheets . Growth n = 279 where 172 have a tumour of the oral cavity and most likely to be oral squamous carcinoma) indicates several signalling pathways such as Akt/PI3K that are up-regulated in these patients [Growth factors and ECM can both modulate cell signalling pathways. Analysis of genomes from Head and Neck Cancer patients and how this translates into the clinical environment. We are also interested in research involving the studies of novel therapies or novel therapeutic approaches which may block cell migration and leading to possible new treatments."}
+{"text": "The concern relates to the provenance of this article as brought to our attention by Faisal Alhawaj, who denies authorship of this article and others published in Cureus. These articles were submitted and subsequently published purportedly as an effort coordinated by Imam Abdulrahman Bin Faisal University to ensure all medical interns publish at least one peer-reviewed article in order to qualify for enrollment in a postgraduate residency program as stipulated by The Saudi Commission for Health Specialties (SCFHS).The journal has not been presented with enough evidence to warrant the formal retraction of these articles as both Imam Abdulrahman Bin Faisal University and The Saudi Commission for Health Specialties have failed to respond to numerous communications requesting additional information regarding these allegations. While we acknowledge that the provenance of these articles is very much in question, we cannot act until these claims have been investigated by the appropriate institutions with the results of said investigation communicated to Cureus.The concern and this note will remain appended to the above-mentioned article until Cureus is provided with official confirmation from Imam Abdulrahman Bin Faisal University or The Saudi Commission for Health Specialties."}
+{"text": "The concern relates to the provenance of this article as brought to our attention by Faisal Alhawaj, who denies authorship of this article and others published in Cureus. These articles were submitted and subsequently published purportedly as an effort coordinated by Imam Abdulrahman Bin Faisal University to ensure all medical interns publish at least one peer-reviewed article in order to qualify for enrollment in a postgraduate residency program as stipulated by The Saudi Commission for Health Specialties (SCFHS).The journal has not been presented with enough evidence to warrant the formal retraction of these articles as both Imam Abdulrahman Bin Faisal University and The Saudi Commission for Health Specialties have failed to respond to numerous communications requesting additional information regarding these allegations. While we acknowledge that the provenance of these articles is very much in question, we cannot act until these claims have been investigated by the appropriate institutions with the results of said investigation communicated to Cureus.The concern and this note will remain appended to the above-mentioned article until Cureus is provided with official confirmation from Imam Abdulrahman Bin Faisal University or The Saudi Commission for Health Specialties."}
+{"text": "The international health community has set ambitious goals for health: eliminating or reducing communicable and noncommunicable diseases, ensuring appropriate use of antibiotics, increasing the uptake of vaccines and other preventive measures, and responding appropriately to epidemics, among others. Behavioural science can help in achieving these goals;The global health community should adopt multidisciplinary approaches to changing behaviours and integrating behavioural and social science into public health. Behavioural science is one of several disciplines that can help us understand and address behaviours that affect health \u2013 together with social sciences, anthropology, social psychology, behavioural economics, systems thinking, social marketing, human-centred design and implementation science. Each one of these disciplines is uniquely equipped to contribute to this understanding \u2013 and action \u2013 while sharing the goal of developing and implementing policies and programmes designed around people\u2019s needs and life experiences.Bulletin of the World Health Organization focuses on behavioural science and its application to understand individual and community behaviours through the analysis of cognitive, social and environmental drivers and barriers. Traditionally, public health efforts addressing risk behaviours have often focused on knowledge and awareness. Behavioural science analyses influencing factors within the environments around individuals and how insights can be used to design and make discrete changes in the environment to impact behaviours.This theme issue of the The systematic use of behavioural science to address longstanding and emerging public health challenges can provide an opportunity to improve the impact of programmes and policies, but behavioural science is still underutilized in public health. Ineffective behaviour change techniques continue to be used, while effective ones are not used or are difficult to replicate because both practitioners and researchers often do not capture, describe or understand their mechanisms of action.,Such underutilization may also arise because systematically adopting behavioural science can be challenging for practitioners and policy-makers.Bulletin explores some of these practical and theoretical challenges with the objective of advancing the use of behavioural science within public health. We hope to do so by raising the profile of the debate on these issues and including public health experts in this discussion. Only when these practical and theoretical challenges get beyond discussions held exclusively or mostly among behavioural and social scientists will there be meaningful progress towards the systematic inclusion of behavioural science into public health.This theme issue of the This theme issue targets the global community of public health experts, providing examples of the benefits of incorporating behavioural science in our work. The articles show how behavioural science has been used successfully around the world in support of programmes addressing a variety of risk behaviours and health issues, from iron deficiency"}
+{"text": "While hypertension is an important predictor of cardiovascular disease (CVD),In an earlier analysis of the Systolic Blood Pressure Intervention Trial (SPRINT)Journal provides several new insights into the relationship of two VVV parameters (the variability independent of the mean [VIM] and the difference of maximum minus minimum [MMD]) with all\u2010cause mortality in the 7996 hypertensives from SPRINT.The paper by Cheng and coworkersThe first key finding is that VVV SBP was an independent predictor of all\u2010cause mortality after adjustment of conventional risk factors or FRS.The second key finding was that VVV SBP and FRS were both significant risk factors for all\u2010cause mortality, and that higher VVV SBP combined with higher FRS conferred an increased risk for all\u2010cause mortality..Wide oscillations in BP have been considered to increase the extent of oscillatory shear stress in the macrovascular system,While VVV was shown to be associated with artery remodeling in a cross\u2010sectional analysis,It is not completely clear whether the increased VVV is a cause or simply an index of increased arterial stiffness. One major determinant of BP variability is the sensitivity of baroreceptor function.A recently proposed novel disease entity, systemic hemodynamic atherothrombotic syndrome (SHATS),Until now, there have been few reports assessing the relationship between VVV and unfavorable outcome according to the severity of FRS. The data presented in the manuscript reported by Cheng and coworkersK. Kario has received research grants from Omron Healthcare and A&D Co. outside the submitted work. The other author declare no conflict of interest."}
+{"text": "The concern relates to the provenance of this article as brought to our attention by Faisal Alhawaj, who denies authorship of this article and others published in Cureus. These articles were submitted and subsequently published purportedly as an effort coordinated by Imam Abdulrahman Bin Faisal University to ensure all medical interns publish at least one peer-reviewed article in order to qualify for enrollment in a postgraduate residency program as stipulated by The Saudi Commission for Health Specialties (SCFHS).The journal has not been presented with enough evidence to warrant the formal retraction of these articles as both Imam Abdulrahman Bin Faisal University and The Saudi Commission for Health Specialties have failed to respond to numerous communications requesting additional information regarding these allegations. While we acknowledge that the provenance of these articles is very much in question, we cannot act until these claims have been investigated by the appropriate institutions with the results of said investigation communicated to Cureus.The concern and this note will remain appended to the above-mentioned article until Cureus is provided with official confirmation from Imam Abdulrahman Bin Faisal University or The Saudi Commission for Health Specialties."}
+{"text": "Prior research has suggested that poor neighborhood and housing conditions can lead to worse psychological wellbeing. Most studies examine either neighborhood or housing conditions, but not both. Since neighborhood and housing conditions may be correlated it raises the question of whether one is a proxy for the other. We use data from the 2006 and 2008 waves of the Health and Retirement Study to examine associations between perceived neighborhood and housing conditions in 2006 and depressive symptoms (CES-D 8) score in 2008. We find that worse housing conditions and neighborhood safety are associated with more depressive symptoms two years later, even when controlling for prior depressive symptoms. Furthermore, housing and neighborhood conditions are independently related to increased depression symptoms over time. Our research contributes to a deeper understanding of the relationship between home and neighborhood environments and psychological wellbeing in older adults."}
+{"text": "The use of medical cannabis to treat chronic pain is increasing globally, although such use is not approved by any national regulatory authority such as the US Food and Drug Administration and is not supported by replicated, high-quality controlled clinical trials. The absence of data generated by the standard drug development process leaves clinicians with a substantial knowledge gap regarding appropriate dosing regimens. The article by Bhaskar et al. attempts"}
+{"text": "The concern relates to the provenance of this article as brought to our attention by Faisal Alhawaj, who denies authorship of this article and others published in Cureus. These articles were submitted and subsequently published purportedly as an effort coordinated by Imam Abdulrahman Bin Faisal University to ensure all medical interns publish at least one peer-reviewed article in order to qualify for enrollment in a postgraduate residency program as stipulated by The Saudi Commission for Health Specialties (SCFHS).The journal has not been presented with enough evidence to warrant the formal retraction of these articles as both Imam Abdulrahman Bin Faisal University and The Saudi Commission for Health Specialties have failed to respond to numerous communications requesting additional information regarding these allegations. While we acknowledge that the provenance of these articles is very much in question, we cannot act until these claims have been investigated by the appropriate institutions with the results of said investigation communicated to Cureus.The concern and this note will remain appended to the above-mentioned article until Cureus is provided with official confirmation from Imam Abdulrahman Bin Faisal University or The Saudi Commission for Health Specialties."}
+{"text": "The concern relates to the provenance of this article as brought to our attention by Faisal Alhawaj, who denies authorship of this article and others published in Cureus. These articles were submitted and subsequently published purportedly as an effort coordinated by Imam Abdulrahman Bin Faisal University to ensure all medical interns publish at least one peer-reviewed article in order to qualify for enrollment in a postgraduate residency program as stipulated by The Saudi Commission for Health Specialties (SCFHS).The journal has not been presented with enough evidence to warrant the formal retraction of these articles as both Imam Abdulrahman Bin Faisal University and The Saudi Commission for Health Specialties have failed to respond to numerous communications requesting additional information regarding these allegations. While we acknowledge that the provenance of these articles is very much in question, we cannot act until these claims have been investigated by the appropriate institutions with the results of said investigation communicated to Cureus.The concern and this note will remain appended to the above-mentioned article until Cureus is provided with official confirmation from Imam Abdulrahman Bin Faisal University or The Saudi Commission for Health Specialties."}
+{"text": "A 2009 independent review commissioned by the UK government to review the use of antipsychotic medication in patients diagnosed with dementia produced the Time for Action report, often referred to as the Banerjee Report. It highlighted the common practise of using antipsychotics in the treatment of Behavioural and Psychological Symptoms of Dementia (BPSD) and the clinical issues this could raise especially when these medications were not being regularly reviewed. The audti was therefore carried out to determine whether patinets with BPSD in a Community Mental Health Team for Older adults (CMHTOA) in Mid Surrey, who had been diagnosed with BPSD, were being adequately assessed and managed in line with the current guidelines.Patients with a diagnosis of dementia open to one of three teams in the CMHTOA during the months of October and November 2019 were identified, those being prescribed antipsychotic medication were selected and data from their electronic records collected and analysed to determine if clinicians: a) identified and documented the target behaviours, b) carried out a structured assessment using an ABC chart before commencing medication, c) reviewed the antipsychotic medication 6 weeks after it was commenced.Of the 87 patients with a diagnosis of Dementia from October to November 2019, 18 were on antipsychotic medication. 100% of these had target behaviours identified and clearly documented, a sixth had a structured assessment prior to starting medication and 61% had been reviewed after the first 6 weeks of starting antipsychotics.The findings showed that a good proprotion of patients did not have the required structured assessment before commencement of treatment and that more needed to be done by way of improving regular reviews after antipsychotic treatment is commenced."}
+{"text": "The concern relates to the provenance of this article as brought to our attention by Faisal Alhawaj, who denies authorship of this article and others published in Cureus. These articles were submitted and subsequently published purportedly as an effort coordinated by Imam Abdulrahman Bin Faisal University to ensure all medical interns publish at least one peer-reviewed article in order to qualify for enrollment in a postgraduate residency program as stipulated by The Saudi Commission for Health Specialties (SCFHS).The journal has not been presented with enough evidence to warrant the formal retraction of these articles as both Imam Abdulrahman Bin Faisal University and The Saudi Commission for Health Specialties have failed to respond to numerous communications requesting additional information regarding these allegations. While we acknowledge that the provenance of these articles is very much in question, we cannot act until these claims have been investigated by the appropriate institutions with the results of said investigation communicated to Cureus.The concern and this note will remain appended to the above-mentioned article until Cureus is provided with official confirmation from Imam Abdulrahman Bin Faisal University or The Saudi Commission for Health Specialties."}
+{"text": "The aims of this quality improvement project were to determine if Nicotine Replacement Therapy was being prescribed correctly in Shannon Clinic in Northern Ireland and also to improve the rates of correct prescribing of Nicotine Replacement Therapy in the aforementioned unit.There are several different types of Nicotine Replacement Therapy currently available. Shannon Clinic is a smoke-free clinical environment therefore patients who smoke are offered Nicotine Replacement Therapy on admission. When I was working at Shannon Clinic I became aware that there was no clear guidance available to medical staff on the wards regarding prescribing Nicotine Replacement Therapy and therefore I decided to carry out this quality improvement project.An audit of drug charts was done on the patients who were under the care of the consultant that I worked with. In total nine drug charts were included in the audit. After the audit was complete, I produced a poster to show how to correctly prescribe Nicotine Replacement Therapy. A copy of this poster was placed on each ward in Shannon Clinic. After a period of time the drug charts were re-audited to see if there had been an improvement in the rates of correct prescribing of Nicotine Replacement Therapy.In total, 22% of the drug charts which were included in the audit had Nicotine Replacement Therapy prescribed incorrectly on them. After the inclusion of a poster outlining how to prescribe Nicotine correctly on each ward in Shannon Clinic, 0% of drug charts had Nicotine Replacement Therapy prescribed incorrectly on them. This was an improvement of 22%.This quality improvement project was successful at reducing the rates of incorrect Nicotine Replacement Therapy in Shannon Clinic. In the future it is my hope that this quality improvement project should lead to the correct prescribing of Nicotine Replacement Therapy for all patients in Shannon Clinic. It should also lead to an increased awareness regarding the different types of Nicotine Replacement Therapy for medical staff working in this clinical unit."}
+{"text": "The pandemic exposes policymakers to fundamental uncertainties about future economic scenarios. While policymakers have to act forcefully to mitigate the impact on the economy, these conditions call for policy strategies that are also robust to uncertainty. This article compares two concepts of robust strategies: robust control and robust satisficing. It argues that a robust satisficing strategy is preferred and shows that the crisis responses of governments and central banks in Europe share features of robust satisficing in several dimensions."}
+{"text": "The concern relates to the provenance of this article as brought to our attention by Faisal Alhawaj, who denies authorship of this article and others published in Cureus. These articles were submitted and subsequently published purportedly as an effort coordinated by Imam Abdulrahman Bin Faisal University to ensure all medical interns publish at least one peer-reviewed article in order to qualify for enrollment in a postgraduate residency program as stipulated by The Saudi Commission for Health Specialties (SCFHS).The journal has not been presented with enough evidence to warrant the formal retraction of these articles as both Imam Abdulrahman Bin Faisal University and The Saudi Commission for Health Specialties have failed to respond to numerous communications requesting additional information regarding these allegations. While we acknowledge that the provenance of these articles is very much in question, we cannot act until these claims have been investigated by the appropriate institutions with the results of said investigation communicated to Cureus.The concern and this note will remain appended to the above-mentioned article until Cureus is provided with official confirmation from Imam Abdulrahman Bin Faisal University or The Saudi Commission for Health Specialties."}
+{"text": "The concern relates to the provenance of this article as brought to our attention by Faisal Alhawaj, who denies authorship of this article and others published in Cureus. These articles were submitted and subsequently published purportedly as an effort coordinated by Imam Abdulrahman Bin Faisal University to ensure all medical interns publish at least one peer-reviewed article in order to qualify for enrollment in a postgraduate residency program as stipulated by The Saudi Commission for Health Specialties (SCFHS).The journal has not been presented with enough evidence to warrant the formal retraction of these articles as both Imam Abdulrahman Bin Faisal University and The Saudi Commission for Health Specialties have failed to respond to numerous communications requesting additional information regarding these allegations. While we acknowledge that the provenance of these articles is very much in question, we cannot act until these claims have been investigated by the appropriate institutions with the results of said investigation communicated to Cureus.The concern and this note will remain appended to the above-mentioned article until Cureus is provided with official confirmation from Imam Abdulrahman Bin Faisal University or The Saudi Commission for Health Specialties."}
+{"text": "The concern relates to the provenance of this article as brought to our attention by Faisal Alhawaj, who denies authorship of this article and others published in Cureus. These articles were submitted and subsequently published purportedly as an effort coordinated by Imam Abdulrahman Bin Faisal University to ensure all medical interns publish at least one peer-reviewed article in order to qualify for enrollment in a postgraduate residency program as stipulated by The Saudi Commission for Health Specialties (SCFHS).The journal has not been presented with enough evidence to warrant the formal retraction of these articles as both Imam Abdulrahman Bin Faisal University and The Saudi Commission for Health Specialties have failed to respond to numerous communications requesting additional information regarding these allegations. While we acknowledge that the provenance of these articles is very much in question, we cannot act until these claims have been investigated by the appropriate institutions with the results of said investigation communicated to Cureus.The concern and this note will remain appended to the above-mentioned article until Cureus is provided with official confirmation from Imam Abdulrahman Bin Faisal University or The Saudi Commission for Health Specialties."}
+{"text": "The concern relates to the provenance of this article as brought to our attention by Faisal Alhawaj, who denies authorship of this article and others published in Cureus. These articles were submitted and subsequently published purportedly as an effort coordinated by Imam Abdulrahman Bin Faisal University to ensure all medical interns publish at least one peer-reviewed article in order to qualify for enrollment in a postgraduate residency program as stipulated by The Saudi Commission for Health Specialties (SCFHS).The journal has not been presented with enough evidence to warrant the formal retraction of these articles as both Imam Abdulrahman Bin Faisal University and The Saudi Commission for Health Specialties have failed to respond to numerous communications requesting additional information regarding these allegations. While we acknowledge that the provenance of these articles is very much in question, we cannot act until these claims have been investigated by the appropriate institutions with the results of said investigation communicated to Cureus.The concern and this note will remain appended to the above-mentioned article until Cureus is provided with official confirmation from Imam Abdulrahman Bin Faisal University or The Saudi Commission for Health Specialties."}
+{"text": "The association between socioeconomic position (SEP) and dementia is well studied. However, scant attention has been given to the relationship with mild cognitive impairment (MCI), often considered a transient state between normal cognition and dementia. The purpose of this study was to determine the role of various SEP markers such as education and wealth on transitioning to MCI and dementia over a four-year period using data from the English Longitudinal Study of Ageing, a national representative sample of the English population aged 50+. We ascertained MCI and dementia over four years, using a validated algorithm based on physician diagnosis and lower cognitive performance (1 standard deviation below the mean) on multiple standardised tests adjusted for age and education. A Multistate Markov survival model was utilised to investigate whether different SEP markers increased the risk of specific transitions between normal cognitive performance and MCI or dementia, with the latter being considered an absorbing state. During the study period, a quarter of participants progressed to MCI from the normal state. Being in the lowest quintile of wealth was associated with a lower probability of transitioning back to a normal cognitive state from MCI, compared with those in the highest quintile. Greater wealth was weakly associated with a lower risk of transitioning from normal cognitive state to MCI and from MCI to dementia. The overall results imply that socioeconomic advantage might be protective against rapid progression from mild to more severe neurocognitive disorders such as dementia in later life."}
+{"text": "The session will focus on new and existing innovative ways that Community Colleges are effectively addressing workforce needs resulting from a rapidly aging population; the ever-expanding career pathways available to students in the field of gerontology; as well as the continuing higher education needs of students transferring to bachelor\u2019s and graduate-level gerontology programs. A panel of Community College and University gerontology professionals, representing both the GSA Community College and Aging Workforce Interest Groups, will share the innovative ways that they are working to address the three focus areas of this symposium. We will also include opportunities for discussion with participants about their experiences with and ideas for addressing these issues."}
+{"text": "The concern relates to the provenance of this article as brought to our attention by Faisal Alhawaj, who denies authorship of this article and others published in Cureus. These articles were submitted and subsequently published purportedly as an effort coordinated by Imam Abdulrahman Bin Faisal University to ensure all medical interns publish at least one peer-reviewed article in order to qualify for enrollment in a postgraduate residency program as stipulated by The Saudi Commission for Health Specialties (SCFHS).The journal has not been presented with enough evidence to warrant the formal retraction of these articles as both Imam Abdulrahman Bin Faisal University and The Saudi Commission for Health Specialties have failed to respond to numerous communications requesting additional information regarding these allegations. While we acknowledge that the provenance of these articles is very much in question, we cannot act until these claims have been investigated by the appropriate institutions with the results of said investigation communicated to Cureus.The concern and this note will remain appended to the above-mentioned article until Cureus is provided with official confirmation from Imam Abdulrahman Bin Faisal University or The Saudi Commission for Health Specialties."}
+{"text": "The adulteration of plant based products is a global problem and one that cannot be addressed without combined efforts from industry, academia and regulators. This research topic focused on the problems of quality in the broadest sense as well as looking at specific established and new techniques to help improve the detection of sub-standard products. The issues investigated included species authentication, adulteration and contamination, value chains, agricultural practices and sustainability. Authors and reviewers contributed from Asia, the Americas and Europe, with a high percentage of published papers coming from Chinese institutions.Ichim and Booker in their review assessed the scale of the problem globally and found that 37 countries had significant adulteration problems. An opinion piece provided by Palhares et al., the authors described the situation in Brazil and particularly in relation to sustainability and the protection of minority groups and their traditional knowledge. Luo et al. looked specifically at the on-going and increasing problem of heavy metal contamination in Chinese herbal products, something that is often affected by increased industrial pollution of the land and rivers as well as being due to cultivation or collection in areas where they are naturally occurring e.g., in cinnabar containing rock, risking mercury contamination in crops.Of the fourteen papers that were accepted for publication, three papers focussed on documenting and highlighting the scale of the problem. Kum et al. used Salvia miltiorrhiza as an example of how incorrect species might enter the supply chain and how different processing and storage techniques can affect the end quality of products. Whereas Bi et al. investigated the value chains of Astragalus membranaceus var. mongholicus and assessed the quality in relation to the geographical origin of the material and the effects of using different systems of production and suggested sustainable cultivation as a workable alternative to wild Research Topic. Cultivation may be a viable sustainable option to uncontrolled wild collection, however start up costs and lack of infrastructure can inhibit this process and more governmental and industrial support is needed for these practices to be established long-term.There were several papers that explored the value chains of medicinal plants and Woodley et al. conducted a review of chemical methods and described how mitochondrial activity could be used as a new measure for assessing the biological potency of herbal products and gave detailed methodology on how this could be achieved. Ichim and De Boer described the variation in Ginseng quality and how there were other problems apart from incorrect species, including the wrong part of the plant used and incorrect age of the plant at the time of harvesting (ginseng should be at least 5\u00a0years old prior to harvesting in order to obtain the desired amounts of metabolites). There were three papers on shotgun metabarcoding and Yu et al. presented this as a powerful tool for the molecular identification of biological ingredients. This was endorsed by Liu et al. who described how adulterating fungi could be detected in complex herbal mixtures using this technique. Xie et al. showed how shotgun metabarcoding could overcome biased PCR amplification and be used to authenticate herbal mixtures with distinct variation of dosages of individual ingredients. Similarly Yu et al. described specific mini- DNA barcode techniques for use with highly processed herbal products.Other researchers provided new ways to assess the quality of herbal products. Yu et al. described how a method was developed for the analysis of Ophiopogon japonicus that incorporated quantitative microscopy. This allowed for the differentiation of quality within the same species and highlighted the concept of da di herbs in the Chinese herbal supply chain. Ichim et al. also looked at how microscopy could be used as a cost-effective and rapid method to identify impurities within mixtures although with the caveat that it was difficult to use with highly processed materials e.g., extracts. Zhao et al. described vector control quantitative analysis as a new method for analysing complex formulations. A PCR strategy was explained that rapidly generated the integrated DNA fragments needed from multiple targeted species. A technique with much potential for future use within the industry.Some of the new techniques (or known techniques repurposed) focussed on single plants and It is clear that there are global initiatives in place to improve the detection of poor quality and adulterated material in herbal medicines and there has been advances in many analytical techniques in an effort to overcome the difficulties encountered in analysing complex mixtures of medicinal plants. There appears to be growing emphasis on investigating quality problems along the length of the value chain as opposed to focussing on the finished products and with this comes an increased awareness of good collection and cultivation practices and a greater resolve to tackle issues of sustainability. Overall the papers emphasise the need for effective quality management along the length of the supply chain and the continued application of well known and new techniques to improve herbal quality and safety."}
+{"text": "The concern relates to the provenance of this article as brought to our attention by Faisal Alhawaj, who denies authorship of this article and others published in Cureus. These articles were submitted and subsequently published purportedly as an effort coordinated by Imam Abdulrahman Bin Faisal University to ensure all medical interns publish at least one peer-reviewed article in order to qualify for enrollment in a postgraduate residency program as stipulated by The Saudi Commission for Health Specialties (SCFHS).The journal has not been presented with enough evidence to warrant the formal retraction of these articles as both Imam Abdulrahman Bin Faisal University and The Saudi Commission for Health Specialties have failed to respond to numerous communications requesting additional information regarding these allegations. While we acknowledge that the provenance of these articles is very much in question, we cannot act until these claims have been investigated by the appropriate institutions with the results of said investigation communicated to Cureus.The concern and this note will remain appended to the above-mentioned article until Cureus is provided with official confirmation from Imam Abdulrahman Bin Faisal University or The Saudi Commission for Health Specialties."}
+{"text": "The quality of maternal healthcare training is the most optimal degree of health in the delivery of effective, efficient and quality healthcare in midwifery discipline. Student accoucheurs studying at the Free State School of Nursing are faced with resistance, discrimination, rejection and unacceptability by pregnant women during their clinical placement at the Free State maternal healthcare institutions. This results in poor quality of training of student accoucheurs in maternal healthcare. Considerable studies have been conducted on males in midwifery nursing, but no guidelines have been developed to facilitate student accoucheurs' acceptance and improvement of the quality of training in maternal healthcare, hence the purpose of this study.n\u00a0=\u00a032) were conducted through purposeful sampling method. Data was analysed thematically.A descriptive, explorative qualitative design was used in this study. Qualitative focused group discussions (Three main categories emerged: student accoucheurs' related factors with social interactions and relations as a theme; maternal healthcare users\u2019 related factors with transcultural diversity and socio-economic status as themes; nurse training institutions and maternal healthcare institutions service providers-related factors with gender inequality in the work place as a theme. Ultimately, the guidelines to facilitate acceptance and improvement of quality training of student accoucheurs in maternal healthcare institutions were developed and recommended for implementation.The paper developed guidelines to facilitate acceptance and improvement of quality training of student accoucheurs in Free State maternal healthcare institutions. The quality of education and training of nurses, midwives and accoucheurs are low and poor in many countries including South Africa, resulting in a health workforce ill-prepared to effectively respond to rapidly changing and complex existing, and future health systems including maternal healthcare challenges. The training of males in nursing specifically in midwifery has met various challenges worldwide.Over time, however, nursing and midwifery evolved to include males, men have been prominent in the nursing profession during the Middle Ages and Renaissance, the modern image of an \u201cideal nurse\u201d is feminized. This is primarily because of the Nightingale system for nurse training, wartime and economic factors . The auMidwifery, however, may be one of the most exclusively and disproportionately female specialties in the field of nursing, it is time to acknowledge the presence of accoucheurs, the challenges they face and the positive attributes they bring to the profession . This cIn the eighteenth century, childbirth in most parts of the world remained informal and exclusively managed by women, and in the nineteenth century respectively, midwifery began to change based on the revised curriculum which allowed men to enter into maternal healthcare discipline . R.425 In South Africa, chapter 2 of the Constitution stipulates the upholding of gender equality at all times. Hence, the percentage of student accoucheurs training in midwifery has steadily risen and continues to do so in the country. Although the numbers of men who choose nursing midwifery as a profession have increased significantly, it remains difficult for men to practice in this area of nursing despite being trained as accoucheurs.Gender diversity and inequality occurring in the nurse training institutions and clinical workplace contributes towards the phenomena. Segregation, rejection and discrimination projected by pregnant women towards student accoucheurs during their clinical placement in maternal healthcare institutions have a negative impact towards goal achievement to become accoucheurs . SimilaAccording to the World Health Organization (WHO), 800 women die per day globally owing to pregnancy-related complications . While The nurse training institutions are constantly producing registered midwives/accoucheurs on an annually basis to enter the working force in a healthcare sector. According to the policy on gender in Malawi, an equal number of males and females should enter tertiary education. However, this is not the case with nursing due to the historical background of nursing being \u201cfeminine,\u201d and the challenges men face in nursing, impact negatively on those intending to enter the profession . PredomIt is evident that student accoucheurs are faced with difficulties during their training specifically in midwifery discipline. These difficulties maybe contributed by rejection, segregation, discrimination by pregnant women based on their gender including lack of support from their lectures and midwives in maternity units among other factors contribute to these difficulties. This was confirmed byA descriptive explorative design was used to explore the views of student accoucheurs' experiences encountered during their third and fourth levels of training in maternal healthcare institutions. The main focus of this study was on the acceptance of student accoucheurs by pregnant women during their clinical placement in the maternity units. Therefore, a descriptive explorative design was chosen to invent the full nature of the phenomena, the way it is manifested and establishing the clear picture of the situation as it is naturally happening without manipulation of any variables . The inThe total of 32 student accoucheurs between the ages of 20 and 24 years studying in the Free State School of Nursing were purposively selected to be included in the study. Purposive sampling is a method often used when the researcher wants a sample of experts . FurtheAll student accoucheurs registered at the Free State School of Nursing at their fourth year of training placed at post-natal units were purposively selected.All student accoucheurs over the age of 18 years at their fourth year level of training who were willing to participate in the study and who signed the consent form were purposively selected.All student accoucheurs not studying at the Free State School of Nursing and not in their fourth-year level of their study and who are below the age of 18 years of age.All student accoucheurs who meet the inclusion criteria but not willing to participate in the study.Five focus group discussions consisting of four to five members in a group were conducted. Additional two focus group discussions were added to ensure that data has been saturated. The focus group discussions were conducted with the fourth year student accoucheurs only based on the aim of the study which was to explore the experiences of student accoucheurs regarding their acceptance by pregnant women during their clinical placement at maternal healthcare in the Free State Province. Ground rules and information about the scope of discussion which assisted the participants to understand what is expected from them were laid . All foAs outlined inQualitative data was transcribed from the voice-recorder into a written format, organised and stored using Atlas TI 8. version programme. This programme helped the researcher to systematically organised data into themes and sub-themes with codes to evaluate and interpret qualitative texts . Tesch'Lincoln and Guba criteria of credibility, transferability, dependability and conformability were used to establish trustworthiness . ConforPrior to the commencement of the study, the approval of the study was obtained from the University Ethics Committee (IREC Number: 10/17) and the Free State Department of Health. Information letters detailing the purpose of the study were given to the participants. Confidentiality was assured, anonymity guaranteed and participants were allowed to withdraw from the study at any point. All participants gave informed consents agreeing to take part in the study.The analysed data was grouped into three categories of factors from which four major themes and six sub-themes emerged . These As males, we are challenged on how to build good relationships with women in maternity units. Most women come with preconceived ideas that they expect to be treated by female midwives that's how they were socialised [\u2026] .Most procedures are invasive such as vaginal examination [\u2026] and women refuses to be examined by us. I need help and support to interact and gain women's trust [\u2026] .Most participants stated that the quality of their training in midwifery is based on good interactions with pregnant women. According to them, such interaction alleviates woman's preconceived ideas and fears about pregnancy, labour, delivery and the midwife that will be assisting them. Hence building a nurse\u2013patient relationship was important in the maternity units, but this could be a challenge because most women are socialised into building sound relationships with other females. Therefore, the provision of quality training by the training institutions will empower them with knowledge, skills and support to build good nurse\u2013patient relationships with pregnant women:Sometimes I feel shy to ask a woman to push in SeSotho as this word sound vulgar if used by male to a female [\u2026] .I need to be taught how to give instructions to women without embarrassing them [\u2026] .Moreover, participants associated lack of communication skills as a contributing factor to women not accepting maternal healthcare rendered by them. Vernacular words used to give instructions to women during delivery could sound vulgar and embarrassing when are said by a male to a female:I was denied the opportunity by a Muslim family to assist during delivery as this was seen as taboo. I had to respect the patients' rights you know [\u2026] .Married women do not want to be seen naked by another man other than their own husbands. Despite this, culturally it is unacceptable to undress for a younger person of opposite gender [\u2026] .Some women will tell you that in their culture, men should wait for the period ten days before they can be allowed to see them during and after delivery [\u2026] .Most participants stipulated that the training institutions should empower them with transcultural nursing in midwifery. Participants said women who are from traditional rural areas are religiously, socially and culturally sensitive regarding pregnancy as this is regarded as sacred to them hence, they become sceptical about maternal healthcare services rendered by males:I have forfeited the chance of learning and fulfilling my required objectives other day when I was refused to deliver a lady teacher whose husband was a taxi owner [\u2026] and the Unit Manager did not intervene [\u2026] .Whereas financially unstable women are forced to attend public hospitals. Although some women do not express their views about student accoucheurs' presence in maternity units. Their resistance and non-co-operation can be detected when taking care of them which contribute to poor quality of their training in midwifery while increasing risks of maternal mortality:Some women who are unemployed do not actually tell you that they do not want you as a male to assist them depriving us from quality training in midwifery, but they will resist your commands during examination and during labour putting themselves and the babies at risk [\u2026] .It emanated from the participants that financially stable women are at liberty to choose the midwife of their preference, whether to attend private or public hospital for maternal healthcare services. Their voices in a public hospital regarding their choice of care is more respected. Therefore, they indicated that the training institutions should capacitate them with skills and knowledge in managing women attending their maternal healthcare services in the public hospitals irrespective of their financial statuses:Accoucheurs are allocated in casualty, intensive care, theatre and other general wards except in maternity units [\u2026] .Student accoucheurs indicated that in clinical areas where they were allocated for maternal healthcare services in the province, no accoucheurs were placed in maternity units:In some other few institutions you will find one or two community service accoucheurs working for either a week to a month [\u2026] and they are constantly taken to assist in other units if there is shortage of staff [\u2026] .Most participants attested that even community health service accoucheurs were placed for the short period of time in this units. Therefore, women have limited exposure to maternal healthcare services rendered by accoucheurs; hence they reject and unaccepting to be taken care by them during their clinical placement in maternity units:I have never saw even a single male Unit Manager or Assistant Director Nursing Manager where I was placed for my maternal healthcare rotation for the past two years [\u2026] and all our lecturers are females .Moreover, all Unit Managers, Assistant Director Nursing Managers responsible for maternal healthcare units were females including Lecturers teaching midwifery at the Free State School of Nursing. Although they render quality services in students training in midwifery, but gender diversity is not represented:I like midwifery nursing [\u2026] and I prefer to work in maternity units rather than in other units [\u2026] .Most student accoucheurs chose midwifery nursing science as their preferred discipline:The study finding was based on the categories emerged during data analysis. The first category was based on student accoucheurs' related factors. The nurse training involves an active social interactions and relations with the patient. This enhances building a good nurse\u2013patient relationship which promotes effective communication and provision of quality maternal healthcare to pregnant women. According to the Department of Health as cited byA gap was identified from the student accoucheurs discussion that they lack communication skills in assessing women and giving instructions effectively during delivery without causing discomfort to them and feeling embarrassed. The key facets of constructive communication in maternity care include an empathetic communication style, willingness to respond to questions and allowing enough time to discuss the woman's concerns . The NGT gathers information by asking the participants to respond to questions posed by the researcher and then asking the participants to prioritise the ideas of all group members .Table A policy which incorporates cultural or religious sensitivity of pregnant women to student accoucheurs' presence in the maternal healthcare institutions should be developed and implemented.A policy that integrates cultural and religious sensitivity in maternal healthcare in the curriculum of the Free State School of Nursing to ensure that student accoucheurs are taught about pregnant women's religious and cultural diversity.The policymakers in the Free State Department of Health need to ensure that maternal healthcare services rendered at the maternal health institutions cater for all pregnant women despite their cultural or religious backgrounds, whilst ensuring effective and quality training of student accoucheurs in midwifery. Therefore, the following recommendations for the implementation of this guideline should be taken into consideration:Nurse Managers should allocate accoucheurs on a rotational basis in the maternal healthcare units to improve the visibility of accoucheurs in these units.Nurse Managers should consider accoucheurs when vacant positions for Unit Managers in maternal healthcare become available to ensure gender equity in the work place.Placement of accoucheurs in maternal healthcare units will improve the quality of student accoucheurs' training by providing support and encouragement in midwifery discipline.The Nurse Managers places accoucheurs in all other nursing units within the organisations except in the maternal healthcare units' despite being trained to work in this discipline. This deprives pregnant women an opportunity to experience the maternal healthcare services rendered by accoucheurs. Hence the recommendations for implementation of the developed guideline by Nurse Managers.Nurse Managers should ascertain accoucheurs' preferred discipline and negotiate placement on a rotational basis with them to promote gender equity in maternal healthcare institutions.Accoucheurs requesting to be placed in maternal healthcare units should be granted the opportunity to practice midwifery.Accoucheurs who have an interest in improving their career by furthering their studies in advanced midwifery should be given the relevant opportunities by Nurse Managers.Accoucheurs should be given opportunities to mentor and supervise student accoucheurs in the maternal healthcare institutions to improve the quality of their training in midwifery discipline.Nursing Managers need to consider how accoucheurs are allocated in the Free State healthcare institutions. The random allocation of accoucheurs in general units except for maternity units, despite their preference, deprives them of the opportunity to explore and grow their careers in maternal healthcare. It is recommended that the developed guideline should be implemented by Nurse Managers:A programme designed to teach pregnant women in ANC, labour wards and postnatal wards about gender and its importance in nursing, and to equip pregnant women and their families with knowledge about the nursing profession.Involve the relevant training stakeholders in the implementation of the teaching programme about gender diversity and equity in nursing to ensure correct implementation of the programme at the Free State maternal healthcare institutions.Involve student accoucheurs in teaching pregnant women and their families about their roles in maternal healthcare to promote gender diversity and equity in nursing.Encourage pregnant women to verbalise their concerns and uncertainties about student accoucheurs in maternal healthcare and to give clear and accurate responses.Student accoucheurs undergo the same training as their female counterparts' despite being rejected and discriminated by women in maternal healthcare units due to their gender. It is recommended that a career exposure programme that will focus on teaching pregnant women and their family members about career choice and the contribution of student accoucheurs in maternal healthcare is required. Hence the researcher made recommendations to implement the developed guideline:Lecturers at the Free State School of Nursing should develop and integrate communication skills in their teaching objectives to equip student accoucheurs with effective communication skills in maternal healthcare.Translation of culturally sensitive terminologies, used in midwifery, into a less embarrassing and non-offensive form so that student accoucheurs and pregnant women are not embarrassed.Lecturers should encourage student accoucheurs to implement the taught communications skills, acquired in their training, during their clinical placement at the Free State maternal healthcare institutions.Student accoucheurs should give feedback regarding the effectiveness of implemented communication skills programme to lecturers on a regular basis.The development of a programme that will integrate communication skills specifically in maternal healthcare for student accoucheurs in their third- and fourth-year level of training is necessary. This programme will facilitate effective communication skills for student accoucheurs as the key facets of constructive communication in maternity units (Create, advertise and approve posts with specific requirements for clinical instructors while considering gender diversity and equity to be allocated in various maternal healthcare institutions in the Free State Province, employed by the Free State School of Nursing.Enrolment of clinical instructors in a simulation course for health professionals to equip them with needed skills and knowledge on clinical accompaniment of students including student accoucheurs to improve the quality of training in maternal healthcare.Allocation of clinical instructors in the Free State maternal healthcare institutions accredited for placement of student accoucheurs in midwifery discipline to ensure prompt and active supervision of student accoucheurs to improve the quality of their training.Clinical instructors should actively utilise the simulation skills laboratory at the Free State School of Nursing in demonstrating skills and feedback from student accoucheurs to ensure quality of training in midwifery discipline.Clinical instructors at the Free State maternal healthcare institutions should frequently give feedback to lecturers about challenges, progress and proposed solutions regarding student accoucheurs placed in these institutions.The Free State School of Nursing should consider hiring clinical instructors to be stationed in the maternity units. The developed guideline and the proposed implementation is aimed at improving the supervision of student accoucheurs by clinical instructors stationed at the Free State maternal healthcare institutions. It is imperative that the Free State School of Nursing consider the recommendations below for implementing the developed guideline:A designed programme with stipulated time frames for clinical skills demonstrations and feedback for student accoucheurs to improve the quality of training in maternal healthcare.Compulsory attendance and supervision of student accoucheurs during clinical practice in the skills laboratories.Use simulated patients in the skills laboratory for maternal healthcare history taking to teach student accoucheurs effective communication skills improve their confidence in maternal healthcare.Giving constructive feedback, either negative or positive to student accoucheurs after the performance of their clinical tasks to encourage them to improve their skills and knowledge.Debriefing sessions after each clinical task should be conducted to ensure that student accoucheurs express their fears and concerns which should be addressed by clinical instructors.Counselling sessions and referrals to student counsellors those student accoucheurs with difficulty in maternal healthcare clinical practice in the skills laboratory.Compulsory briefing sessions by lecturers for student accoucheurs on what to expect and how to deal with rejection by pregnant women prior to their clinical placement in the Free State maternal healthcare institutions.The Free State School of Nursing should design and equip clinical skills laboratory with the high and low fidelity manikins designed for midwifery teaching purposes. This skills laboratory should be fully utilised for midwifery clinical practice to enhance skills and knowledge of student midwives and student accoucheurs enabling them to render quality maternal healthcare services. The Free State School of Nursing academia should consider the following recommendations for implementation of this guideline:The study was conducted in the Free State Province maternal healthcare institutions accredited by SANC for student nurse training purposes which may restrict transferability.The study is in line with nursing education in the midwifery discipline and human resource management. The developed guidelines are intended for implementation by the policymakers in the Free State Department of Health, Free State School of Nursing and the Nurse Managers in their respective maternal healthcare institutions in the Free State Province including to other relevant maternal healthcare institutions involved in midwifery student nurse training. The researcher contends that this is the first comprehensive study that has researched and developed guidelines regarding the phenomena. According toThe literature review and data analysis from the study participants confirmed that there were gaps in the training of student accoucheurs and that there were no developed guidelines with respect to improving the quality of training and support of student accoucheurs during their clinical placement in maternal healthcare institutions. The main aim of the current study was realised in that the guidelines to facilitate acceptance and improve the quality of training of student accoucheurs in midwifery clinical practice at the Free State maternal healthcare institutions were developed. Recommendations for implementation of the developed guidelines were suggested for stakeholders involved in the training of student accoucheurs in midwifery discipline."}
+{"text": "The concern relates to the provenance of this article as brought to our attention by Faisal Alhawaj, who denies authorship of this article and others published in Cureus. These articles were submitted and subsequently published purportedly as an effort coordinated by Imam Abdulrahman Bin Faisal University to ensure all medical interns publish at least one peer-reviewed article in order to qualify for enrollment in a postgraduate residency program as stipulated by The Saudi Commission for Health Specialties (SCFHS).The journal has not been presented with enough evidence to warrant the formal retraction of these articles as both Imam Abdulrahman Bin Faisal University and The Saudi Commission for Health Specialties have failed to respond to numerous communications requesting additional information regarding these allegations. While we acknowledge that the provenance of these articles is very much in question, we cannot act until these claims have been investigated by the appropriate institutions with the results of said investigation communicated to Cureus.The concern and this note will remain appended to the above-mentioned article until Cureus is provided with official confirmation from Imam Abdulrahman Bin Faisal University or The Saudi Commission for Health Specialties."}
+{"text": "There is an error in the Funding statement. The new statement should be: \u201cSupported by the national social science fund project Research on Path Design and Policy Support for Rural Tourism in Ethnic Areas to Consolidate the Achievements of Poverty Alleviation (20BSH062), the Fundamental Research Funds for the Central Universities (SWU2109207).\u201dThe authors apologize for this error and state that this does not change the scientific conclusions of the article in any way. The original article has been updated."}
+{"text": "There is a large gender gap in critical care medicine with women underrepresented, particularly in positions of leadership. Yet gender diversity better reflects the current critical care community and has multiple beneficial effects at individual and societal levels. In this Viewpoint, we discuss some of the reasons for the persistent gender imbalance in critical care medicine, and suggest some possible strategies to help achieve greater equity and inclusion. An explicit and consistent focus on eliminating gender inequity is needed until gender diversity and inclusion become the norms in critical care medicine. Medicine has traditionally been a male-dominated profession. Despite women medical trainees outnumbering men medical trainees in many countries, there are still more men than women in clinical and academic leadership positions around the world . Recent Publication of research is considered essential for academic career advancement in medicine, and the number of publications influences the authors\u2019 visibility as researchers, their success as grant applicants and theiThe reasons for the persistent gender imbalance in critical care medicine have been studied extensively over recent years. Societal ideas pertaining to the roles traditionally occupied by men and women have likely contributed. In a survey of 115 faculty and 122 undergraduate students at large, research intensive universities, agentic traits were thought to be more important than communal traits for success in science . Other bParsons Leigh and colleagues described institutional (lack of flexibility and limited job prospects) and interpersonal (bias against women) factors as key drivers of the gender gap in critical care medicine . At the Another important area that needs to be addressed is the tension that many women experience between the different roles they hold at work and at home. The challenges of taking time away from medicine for maternity leave have been widely recognized and discussed , 18. TheWithin national and international critical care societies, several initiatives have been introduced to encourage gender balance, including selective endorsement of meetings that have gender diverse speakers. The Canadian Critical Care Society Diversity Policy strives to achieve at least 30% women speakers. A similar policy developed by the Australia New Zealand Intensive Care Society aims to include 50% women speakers by 2022. The European Society of Intensive Care Medicine (ESICM) has introduced several task forces to address gender inequality. In the absence of international registries, it remains challenging for critical care societies to benchmark or compare their diversity metrics to those of others.The focus of this Viewpoint has been to highlight the need to promote gender equity and inclusion in critical care medicine and suggest some possible strategies to help achieve greater equity and inclusion. It is our collective responsibility, as a critical care community, to identify and address barriers that perpetuate inequities in critical care. Diversity and code of conduct policies have been adopted by several critical care societies and the World Federation of Societies of Intensive and Critical Care Medicine. Widespread adoption of such policies will help eliminate inequity and enhance inclusion. Training and mentorship programs for women intensivists will enable promotion of women to higher academic ranks and leadership positions. Acknowledging the existence of implicit and explicit biases is an essential first step. We believe that an explicit focus on eliminating gender inequity will help to gradually change societal views of the roles played by women and men critical care physicians so that it will become the norm for women and men to be both critical care physicians and leaders in critical care."}
+{"text": "The concern relates to the provenance of this article as brought to our attention by Faisal Alhawaj, who denies authorship of this article and others published in Cureus. These articles were submitted and subsequently published purportedly as an effort coordinated by Imam Abdulrahman Bin Faisal University to ensure all medical interns publish at least one peer-reviewed article in order to qualify for enrollment in a postgraduate residency program as stipulated by The Saudi Commission for Health Specialties (SCFHS).The journal has not been presented with enough evidence to warrant the formal retraction of these articles as both Imam Abdulrahman Bin Faisal University and The Saudi Commission for Health Specialties have failed to respond to numerous communications requesting additional information regarding these allegations. While we acknowledge that the provenance of these articles is very much in question, we cannot act until these claims have been investigated by the appropriate institutions with the results of said investigation communicated to Cureus.The concern and this note will remain appended to the above-mentioned article until Cureus is provided with official confirmation from Imam Abdulrahman Bin Faisal University or The Saudi Commission for Health Specialties."}
+{"text": "With our work we want to support better, evidence\u2010based decisions by: (a) supporting rigorous synthesis of evidence on key questions; (b) further improving the quality of climate change research through critical appraisal of primary research; and (c) improving the efficiency of the scientific process through enhanced oversight of, and less duplication in, secondary research efforts. We further believe that our work strengthens the IPCC and other climate change assessments by supporting the completion of its evidence pyramid in resource constrained contexts like the Global South. Our aim is, therefore, to provide accessible and functional training in climate evidence synthesis that works across settings .3It is an exciting and important task to build a thriving community that tries to learn what climate solutions work under what conditions, for whom, and why, using rigorous systematic review and evidence (gap) map methodologies. Beyond the core remit of the group to promote rigorous evidence synthesis as an important pathway to more evidence\u2010informed climate policy, CSCG will further try to advance evidence synthesis methodology more generally in four priority areas.Promote the adaptation and application of qualitative and mixed methods evidence synthesis methodologies: The social science of climate change provides a very diverse body of evidence. Only a small part of this literature is directly on impact evaluations of climate solutions based on experimental or quasiexperimental research designs IPCC,\u00a0. In partEncourage the development and application of novel evidence synthesis technology: Climate change is not only one of the most pressing policy issues of our time, but also a very prolific area of research with tens of thousands of studies being published every year. In such an age of big literature with a vast and fast\u2010growing evidence base, traditional manual tools of evidence synthesis are being pushed to their limits (Callaghan et al.,\u00a0Integrating the evidence synthesis traditions of the climate and the systematic review communities: It is clear that comprehensive learning on climate solutions must be rooted in a systematic exploration of alternative future pathways as well as systematic evaluation of past policies. The CSCG brings together two evidence synthesis communities with complementary strengths in ex\u2010ante and ex\u2010post assessments of climate solutions. We are convinced that there is great scope for mutual learning and that sharing and integration of these distinct traditions will ultimately lift evidence synthesis and the resulting scientific policy advice to a higher level.Promote the application of formal assessment of confidence in evidence within syntheses of climate solutions: Assessment of uncertainty and confidence in evidence is a critical component of climate change assessments (Janzwood,\u00a0Climate change is one of the most pressing problems that humankind faces. We need to urgently and rapidly learn from the best available evidence on climate solutions. The CSCG warmly invites registrations and submissions to Campbell Systematic Reviews from climate experts across diverse disciplines and evidence synthesis practitioners."}
+{"text": "The concern relates to the provenance of this article as brought to our attention by Faisal Alhawaj, who denies authorship of this article and others published in Cureus. These articles were submitted and subsequently published purportedly as an effort coordinated by Imam Abdulrahman Bin Faisal University to ensure all medical interns publish at least one peer-reviewed article in order to qualify for enrollment in a postgraduate residency program as stipulated by The Saudi Commission for Health Specialties (SCFHS).The journal has not been presented with enough evidence to warrant the formal retraction of these articles as both Imam Abdulrahman Bin Faisal University and The Saudi Commission for Health Specialties have failed to respond to numerous communications requesting additional information regarding these allegations. While we acknowledge that the provenance of these articles is very much in question, we cannot act until these claims have been investigated by the appropriate institutions with the results of said investigation communicated to Cureus.The concern and this note will remain appended to the above-mentioned article until Cureus is provided with official confirmation from Imam Abdulrahman Bin Faisal University or The Saudi Commission for Health Specialties."}
+{"text": "The aim of the study was to assess the attitudes and perceptions of parents towards child and adolescent psychiatric consultation, diagnosis and treatment.The hypothesis of the study was there are significant problems in the domains of attitude and perceptions of parents towards child and adolescent psychiatric consultation, diagnosis and treatment.Parents are an important stake holder in child and adolescent psychiatry and mental health care service models. There is scarce literature from developing countries regarding attitudes and perceptions of parents towards child and adolescent psychiatric consultation, diagnosis and treatment.This study was conducted at the Child and Adolescent Psychiatry Clinic, Department of Psychiatry at a Tertiary Care Institution. Eligibility criteria comprised of parents of children and adolescents who had come for consultation. The parents were provided information of the study and those willing to participate were included in the study. A convenience sample of 100 parents was considered for the study. The parents were interviewed using a specially designed survey comprising 30 questions with Yes/No response developed by the authors for the purpose of the study. Informed consent and Institutional Ethics Committee Clearance was obtained. Data were analysed using SPSS.We found that the majority of parents were from urban area (72%) and mothers comprised 68%. We found that 46% of parents did not want a psychiatric diagnosis and 35 % parents felt stigmatized for seeing a psychiatrist for their child. Sixty nine percentage of parents preferred counseling as the first line of treatment and 31% preferred medicines as the first line of treatment. We found that 33 % felt additional psychological tests could be useful and 54% of parents felt brain imaging and blood tests could be useful for their child. Majority of parents expected basic improvement for their child within 1 week(32%) and expected full improvement by 1 month(82%). Fifty three percent of parents had searched online information prior to consulting and found useful information. However, 38% of the parents felt confused after reading online information and 69 % of parents were more worried about giving medications after referring online information.Our study provides useful key insights from parent's perspective in child and adolescent psychiatric services. Implications exist for future research as well as policy perspectives on the role, attitudes and expectations of parents as vital stake holders in child and adolescent psychiatry."}
+{"text": "The concern relates to the provenance of this article as brought to our attention by Faisal Alhawaj, who denies authorship of this article and others published in Cureus. These articles were submitted and subsequently published purportedly as an effort coordinated by Imam Abdulrahman Bin Faisal University to ensure all medical interns publish at least one peer-reviewed article in order to qualify for enrollment in a postgraduate residency program as stipulated by The Saudi Commission for Health Specialties (SCFHS).The journal has not been presented with enough evidence to warrant the formal retraction of these articles as both Imam Abdulrahman Bin Faisal University and The Saudi Commission for Health Specialties have failed to respond to numerous communications requesting additional information regarding these allegations. While we acknowledge that the provenance of these articles is very much in question, we cannot act until these claims have been investigated by the appropriate institutions with the results of said investigation communicated to Cureus.The concern and this note will remain appended to the above-mentioned article until Cureus is provided with official confirmation from Imam Abdulrahman Bin Faisal University or The Saudi Commission for Health Specialties."}
+{"text": "The concern relates to the provenance of this article as brought to our attention by Faisal Alhawaj, who denies authorship of this article and others published in Cureus. These articles were submitted and subsequently published purportedly as an effort coordinated by Imam Abdulrahman Bin Faisal University to ensure all medical interns publish at least one peer-reviewed article in order to qualify for enrollment in a postgraduate residency program as stipulated by The Saudi Commission for Health Specialties (SCFHS).The journal has not been presented with enough evidence to warrant the formal retraction of these articles as both Imam Abdulrahman Bin Faisal University and The Saudi Commission for Health Specialties have failed to respond to numerous communications requesting additional information regarding these allegations. While we acknowledge that the provenance of these articles is very much in question, we cannot act until these claims have been investigated by the appropriate institutions with the results of said investigation communicated to Cureus.The concern and this note will remain appended to the above-mentioned article until Cureus is provided with official confirmation from Imam Abdulrahman Bin Faisal University or The Saudi Commission for Health Specialties."}
+{"text": "The Competing Interests statement published incorrectly. The publisher apologizes for the error. The correct statement is as follows: The authors have read the journal\u2019s policy and the authors of this manuscript have the following competing interests: JT discloses a consulting relationship with Genetika, and JKW discloses paid employment with the Center for Translational Bioethics and Health Care Policy at Geisinger during the conduct of this study but no active competing interests at the time of publication. The authors have declared that no other competing interests exist and that the authors have no financial interests related to this study to declare. This does not alter our adherence to PLOS ONE policies on sharing data and materials."}
+{"text": "The review by Hurst et al. is a comProgressive vision loss in adults is escalating worldwide, as the incidence of macular degeneration and diabetic retinopathy are expected to exceed 300 million and 642 million, respectively, by 2040 (Mitchell et al., in vitro and organotypic platforms have been developed to examine native stem cell behaviors within microscale environments (reviewed in Greene et al., Contemporary cell replacement therapies offer exciting promise to restore vision by replacing damaged neurons with transplanted stem cells. Numerous platforms have been developed to elucidate the cellular mechanisms able to promote stem cell integration within mature retinal hosts (Wu et al., Initial hybrid models culturedSM developed and wrote the manuscript. MV wrote and provided edits to the manuscript. All authors approved the final manuscript version for publication.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest.All claims expressed in this article are solely those of the authors and do not necessarily represent those of their affiliated organizations, or those of the publisher, the editors and the reviewers. Any product that may be evaluated in this article, or claim that may be made by its manufacturer, is not guaranteed or endorsed by the publisher."}
+{"text": "The COVID-19 crisis has revealed the deep technological and production dependencies of the EU on third countries in sectors deemed as particularly strategic and has thus fuelled the debate on (the lack of) European technological sovereignty in critical fields. This article argues that in the light of a renewed interest in relaunching a European industrial policy, technological sovereignty considerations must be fully incorporated into policy objectives and instruments."}
+{"text": "Somaliland is a de facto state in the horn of Africa. It unilaterally declared independence from rest of Somalia in 1991. Medical education in Somaliland started in the year 2000.Aim of the study is to explore the feasibility of teaching program for the country by its future potential psychiatry educators. The initiative started in 2019 to seek trainees with interest in academic psychiatry and support them with medical education skills. This is intended to prepare them for leading future teaching roles in both undergraduate and residency/fellowship in psychiatryAmoud University wanted to empower junior doctors at the university to have teaching skills needed to set up residency program. The Somaliland government asked Ethiopian ministry of health to offer psychiatry residency program for general practitioners in Somaliland to have future residency and fellowship in psychiatry. Several psychiatry trainees worked with the visiting professor from the United Kingdom who joined Somaliland medical school as visiting professor in psychiatryThe visiting professor supported the trainee in setting up a psychiatry undergraduate training curriculum in line with Somaliland medical school curriculum. Before the teaching methods were didactic and role play based. The faculty introduced different teaching methods including flipchart, small/large group teaching which was student centered education. Students received a online survey to reflect on psychiatry teaching they received. post course survey was conducted at the end of the teaching to evaluate the teaching initiative.Survey revealed interesting pattern that students preferred class room based teaching in comparison to online teaching. 90 percent of the attendees showed interest in flipchart teaching compared to didactic model. They expressed increasing understanding of the subject matter when they read and discuss among themselves instead of lectures. 70% of students prefer more clinical teaching compared to online sessions.52% liked the new teaching module compared to the lecturing sytle.Supervision of early career psychiatrists to undertake future academic psychiatry roles is an important step in building psychiatry faculty in medical schools. As the case of Somaliland this retains trainees in teaching roles in the future to teach undergraduates mental health courses. The other benefit is empowering them to set up psychiatry training program to close the service delivery gap with skilled psychiatrists in the future. Somaliland plans to set up its psychiatry residency/fellowship programs soon after this initiative."}
+{"text": "We need a Green Tax Reform which focuses on the Pigouvian approach and can correct the distortions of different climate hurting activities. Through tax policy tools, the price structure should be drastically changed and serious incentives should be provided to change the behaviours of the consumers and producers to achieve green policy goals.Climate crisis is becoming higher on the agenda of the decision makers of the world. A huge amount of resources have been dedicated to green projects, however far less emphasis has been put on tax policy opportunities. Carbon pricing can increase the burden of CO"}
+{"text": "One emerging dyadic concept is the experience of family caregivers when their care partner dies and their dyadic relationship comes to an end. This study qualitatively examined and characterized the loss of the dyadic experience for the caregiver after the death of their care partner. Data was accrued as part of a randomized clinical trial in 29 older hospice caregivers. Iterative thematic analysis focused on dyadic processes before, during and post death. Using two relational parameters from Relational Turbulence Theory resulted in a preliminary characterization of a new concept - dyadic dissolution as a cognitive and affective process whereby a remaining member of a dyad experiences relational uncertainty and partner interference while adapting (or not) to the death of their care partner. Findings suggest that asking several open-ended questions about the dyadic relationship will enable assessment for any continuing impact of relational uncertainty and partner interference on bereaved caregivers."}
+{"text": "The concern relates to the provenance of this article as brought to our attention by Faisal Alhawaj, who denies authorship of this article and others published in Cureus. These articles were submitted and subsequently published purportedly as an effort coordinated by Imam Abdulrahman Bin Faisal University to ensure all medical interns publish at least one peer-reviewed article in order to qualify for enrollment in a postgraduate residency program as stipulated by The Saudi Commission for Health Specialties (SCFHS).The journal has not been presented with enough evidence to warrant the formal retraction of these articles as both Imam Abdulrahman Bin Faisal University and The Saudi Commission for Health Specialties have failed to respond to numerous communications requesting additional information regarding these allegations. While we acknowledge that the provenance of these articles is very much in question, we cannot act until these claims have been investigated by the appropriate institutions with the results of said investigation communicated to Cureus.The concern and this note will remain appended to the above-mentioned article until Cureus is provided with official confirmation from Imam Abdulrahman Bin Faisal University or The Saudi Commission for Health Specialties."}
+{"text": "This study assesses the relationship between indicators of early childhood disadvantage and later-life multimorbidity within a nationally representative sample of Brazilians aged 50 and over . Data come from the baseline assessment (2015/2016) of the Brazilian Longitudinal Study of Aging (ELSI). We employed survey-weighted Ordinary Least Squares regression to estimate the effects of individual and combined measures of childhood disadvantage on the total number of chronic conditions in later life. Mediation analysis assessed whether adult socioeconomic status (SES) mediated the relationship between childhood disadvantage and chronic conditions. We found that individual and combined measures of childhood disadvantage were associated with the total number of chronic conditions, even after controlling for potential confounders. Mediation analysis suggested that part of the effect of childhood adversity is mediated by higher SES in adulthood (~10%). A formal strategy of sensitivity analysis showed that omitted variable bias is extremely unlikely. To rule out the observed effect, an unobserved hypothetical confounder would need the explanatory power of the residual variance of both the independent and the dependent variables that is at least 30 times larger than that of BMI or 5 times larger than the explanatory power of age. Results should inform efforts to strengthen interventions targeting early childhood development and to improve other key inputs (such as education) to enhance adult SES and lessen the impact of early life stressors on health in older adulthood."}
+{"text": "Plant life cannot exist without programmed cell death (PCD). Both plant developmental processes and responses to environmental factors are modulated by highly controlled, localized cell death events and the proteases involved in execution of cell death process . Burke et al. highlights the role of transcription factors (TFs) in the regulation of plant PCD occurring in response to abiotic and biotic environmental triggers, complementing a recent publication by Cubr\u00eda-Rad\u00edo and Nowack and degradation of cellular components (effector caspases) . We expect that the application of increasingly accessible proteomics-based approaches will test this hypothesis in the near future.The two review articles of this Topic discuss critical aspects of plant cell death pathway: its transcriptional control . These authors used the root hair assay (Kacprzyk et al., The Earth's changing climate is leading to increased frequency of extreme weather events that may lead to severe crop damage. Thankfully, plants have developed diverse strategies to deal with environmental stresses, and PCD is part of this defense repertoire (Kacprzyk et al., Collectively, the contributions from the Research Topic emphasize the progress in the field of PCD research and its potential to deliver solutions from the laboratory to the farm. They also highlight the still unanswered questions about the death of plant cell\u2014and hence the exciting opportunities for further research!All authors listed have made a substantial, direct and intellectual contribution to the work, and approved it for publication.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Surgical procedures alter tissue integrity; are associated with pain and activation of the sympathetic nervous system; and sometimes, cause exposure to foreign materials used during the surgery or implanted perioperatively. Those factors have been demonstrated to induce a number of inflammatory reactions ,2,3. DepCardiovascular risk stratification has become an essential dimension in the standardization of clinical pathways and has significantly improved the overall quality of care . HoweverThis Special Issue aims to provide insights in current developments and mechanistic discoveries regarding the impact of surgical and interventional procedures on organ systems and the potential of specifically monitoring biomarkers and cellular responses in perioperative medicine."}
+{"text": "Conduct an environmental scan of Marion County (Indianapolis) neighborhoods using electronic medical record data, state health data, and social and economic dataDevelop strong network of community collaboratorsConduct a thorough assessment for each targeted neighborhood by listening and understanding the pressing health issues in the community and working together to design and deliver solutionsOBJECTIVES/GOALS:Identify measures in the 3 domains of vulnerability, health and assets for the targeted neighborhoods and conduct bivariate descriptive statistics and multivariable regression analyses to investigate association between measures of vulnerability and health outcomes.Initiate relationships with leaders and residents in targeted neighborhoodsLocate organizations working in targeted neighborhoods through online mapping software and word-of-mouth at neighborhood events, and created a spreadsheet with contact information.Conduct multidisciplinary assessment of the targeted neighborhood.Iteratively synthesize assessments to develop areas of interest and relevance to the community.Develop a road map for solutions identified by the community.METHODS/STUDY POPULATION:RESULTS/ANTICIPATED RESULTS: The results from the environmental scan conducted will be displayed in a report and visual \u201cmap\u201d of health outcomes and health determinants, including assets and barriers for the targeted neighborhoods. The research team will use results from the environmental scan coupled with listening activities including attendance at community events, key informant interviews and focus groups to develop relationships and strong collaborations with the targeted neighborhood stakeholders. The relationship building between the research team and community will provide increased trust and engagement that will further enhance the effectiveness of the assessments completed with the targeted neighborhood. The assessments will help to empower communities to develop sustainable solutions and drive future work that will lead to future grant applications and larger-scale implementation in other community impact hub neighborhoods. DISCUSSION/SIGNIFICANCE OF IMPACT: Through the community impact hub work, we will develop collaborative efforts with targeted neighborhoods with the greatest health inequities in the Marion County area. In partnership with these neighborhoods, we will build a foundation \u2013 a network of community collaborators and a focused plan \u2013 upon which we will improve the health outcomes of residents while learning best practices on how to do so."}
+{"text": "The implications of the COVID 19 pandemic signal both tragedy and possibility.This reflective paper considers the amplification of the concurrent pandemics ofviolence against women and children and anti-black racism during the responsesto COVID 19 and renewed calls to action. The enforced \u2018pause\u2019 as a result ofsocial isolation or distancing measures in response to COVID-19, has led manypeople to re-imagine a different world and ignited social movements across theglobe. Education must inspire a vision of what our world could be and definewhat action is needed and the steps required to implement change. The criticalreflection that characterizes most social work educational programs can provideopportunities to harness such imaginings in redefining \u2018the possible\u2019 in thequest for a more equitable and safer world. This article describes the potentialof the pandemic to subvert the pervasive influence of neoliberalism by promotingcollective notions of care. The implications of the COVID 19 pandemic signal both tragedy and possibility. Thisreflective paper considers the amplification of the concurrent pandemics of violenceagainst women and children and anti-black racism and renewed calls to action. Theenforced \u2018pause\u2019 as a result of social isolation or distancing measures in response toCOVID-19, has led many people to re-imagine a different world and ignited socialmovements across the globe. The critical reflection that characterizes most social workeducational programs can provide opportunities to harness such imaginings in redefining\u2018the possible\u2019 in the quest for a more equitable and safer world. At no other time inrecent history has the call for social justice been so insistent.During the first few months of the pandemic the media posted news stories of the largestmass shooting in Canadian history, depicted images of global marches against anti-blackracism and described marked increases in violence against women and children all whilesocial isolation or distancing measures were enforced. These early months of thepandemic were characterized by hoarding and fear and at the same time acts of generosityand a swiftness of innovative responses unimagined before the pandemic. Examplesincluded new housing options for the homeless, releasing inmates from prisons and arenewed call for equitable access to a living wage for all. This article describes theseinnovative responses as disruptions and discusses the potential of the pandemic tosubvert the pervasive influence of neoliberalism by promoting collective notions ofcare.The guiding political philosophy in Canada since the 1980\u2019s has been neoliberalism. It has been described as a regime change that facilitated a transitionto corporate rule in which it is assumed that increased productivity and economic growthwill improve human well-being . RelyingIt is difficult to quantify the pervasive influence of neoliberalism and the myriad waysin which it gets \u2018under our skin\u2019 to order our thoughts about what constitutes oursuccess and in turn influence our behavior; monitoring our appearance, employment andaccumulation of possessions. As one student shared in class this past year, she feltpressure to be perfect and believed this pressure contributed to high rates of anxietyamong her peers. But how is perfection defined? If we turn to Foucault\u2019s concept ofpanopticism, in which he described the ways inmates in prison are constantly visible,subjected to surveillance and controlled seemingly by invisible authority figures, itcan serve as an analogy regarding the impacts of neoliberalism. Facebook, twitter andother forms of social media comprise mechanisms of visibility evident in the consumerculture spaces, images and screen culture . InvisibGlobally, at least one third of women experience physical or sexual violence . Over haThe call to end anti-black racism also includes the subversion of neoliberal ideologiesand practices to redress years of neglect and indifference by providing support andresources to African Canadian communities. Canadian Senator Wanda Thomas The murder of African American George Floyd by police officer Derek Chauvin has awokencollective rage that demands action. As the fall university term begins it is moreimperative than ever that the individualism that marks neoliberalism be replaced bycollective concern and action. Education should inspire a vision of what our world couldbe and define what action is needed and the steps required to implement change. Thepairing of reflection followed by implementation of action is required. This moment ofsubversion of neoliberalism compels a re-imagining of what our social and community lifecould be if a more just and peaceful world was the measure of success."}
+{"text": "The concern relates to the provenance of this article as brought to our attention by Faisal Alhawaj, who denies authorship of this article and others published in Cureus. These articles were submitted and subsequently published purportedly as an effort coordinated by Imam Abdulrahman Bin Faisal University to ensure all medical interns publish at least one peer-reviewed article in order to qualify for enrollment in a postgraduate residency program as stipulated by The Saudi Commission for Health Specialties (SCFHS).The journal has not been presented with enough evidence to warrant the formal retraction of these articles as both Imam Abdulrahman Bin Faisal University and The Saudi Commission for Health Specialties have failed to respond to numerous communications requesting additional information regarding these allegations. While we acknowledge that the provenance of these articles is very much in question, we cannot act until these claims have been investigated by the appropriate institutions with the results of said investigation communicated to Cureus.The concern and this note will remain appended to the above-mentioned article until Cureus is provided with official confirmation from Imam Abdulrahman Bin Faisal University or The Saudi Commission for Health Specialties."}
+{"text": "Family caregivers of hospice patients faced additional challenges in the context of the COVID-19 pandemic where social isolation and loneliness that are often observed among those taking care of a loved one at the end of life, were exacerbated by social distancing rules and workflow changes introduced by hospice agencies. The use of telehealth technologies has the potential to facilitate the delivery of supportive services for family caregivers. We conducted a study examining the use of telehealth for the delivery of a supportive intervention based on problem solving therapy and positive appraisal theory designed specifically to support family caregivers of hospice patients during the COVID-19 pandemic. We recruited 248 caregivers who each participated in three telehealth sessions over a month; caregivers reported higher levels of quality of life and lower levels of anxiety post intervention. Specific recommendations for inclusive telehealth design are discussed based on lessons learned."}
+{"text": "The concern relates to the provenance of this article as brought to our attention by Faisal Alhawaj, who denies authorship of this article and others published in Cureus. These articles were submitted and subsequently published purportedly as an effort coordinated by Imam Abdulrahman Bin Faisal University to ensure all medical interns publish at least one peer-reviewed article in order to qualify for enrollment in a postgraduate residency program as stipulated by The Saudi Commission for Health Specialties (SCFHS).The journal has not been presented with enough evidence to warrant the formal retraction of these articles as both Imam Abdulrahman Bin Faisal University and The Saudi Commission for Health Specialties have failed to respond to numerous communications requesting additional information regarding these allegations. While we acknowledge that the provenance of these articles is very much in question, we cannot act until these claims have been investigated by the appropriate institutions with the results of said investigation communicated to Cureus.The concern and this note will remain appended to the above-mentioned article until Cureus is provided with official confirmation from Imam Abdulrahman Bin Faisal University or The Saudi Commission for Health Specialties."}
+{"text": "The concern relates to the provenance of this article as brought to our attention by Faisal Alhawaj, who denies authorship of this article and others published in Cureus. These articles were submitted and subsequently published purportedly as an effort coordinated by Imam Abdulrahman Bin Faisal University to ensure all medical interns publish at least one peer-reviewed article in order to qualify for enrollment in a postgraduate residency program as stipulated by The Saudi Commission for Health Specialties (SCFHS).The journal has not been presented with enough evidence to warrant the formal retraction of these articles as both Imam Abdulrahman Bin Faisal University and The Saudi Commission for Health Specialties have failed to respond to numerous communications requesting additional information regarding these allegations. While we acknowledge that the provenance of these articles is very much in question, we cannot act until these claims have been investigated by the appropriate institutions with the results of said investigation communicated to Cureus.The concern and this note will remain appended to the above-mentioned article until Cureus is provided with official confirmation from Imam Abdulrahman Bin Faisal University or The Saudi Commission for Health Specialties."}
+{"text": "The concern relates to the provenance of this article as brought to our attention by Faisal Alhawaj, who denies authorship of this article and others published in Cureus. These articles were submitted and subsequently published purportedly as an effort coordinated by Imam Abdulrahman Bin Faisal University to ensure all medical interns publish at least one peer-reviewed article in order to qualify for enrollment in a postgraduate residency program as stipulated by The Saudi Commission for Health Specialties (SCFHS).The journal has not been presented with enough evidence to warrant the formal retraction of these articles as both Imam Abdulrahman Bin Faisal University and The Saudi Commission for Health Specialties have failed to respond to numerous communications requesting additional information regarding these allegations. While we acknowledge that the provenance of these articles is very much in question, we cannot act until these claims have been investigated by the appropriate institutions with the results of said investigation communicated to Cureus.The concern and this note will remain appended to the above-mentioned article until Cureus is provided with official confirmation from Imam Abdulrahman Bin Faisal University or The Saudi Commission for Health Specialties."}
+{"text": "Resilience is described as the ability to respond to acute forms of stress and recover to normal homeostasis. There is growing evidence that biology of resilience is entwined with the biology of aging. With increasing age, resilience decreases and is a likely contributor to increased morbidity, frailty and susceptibility to death with age. Conversely, increased resilience across numerous physiological markers of function is associated with longevity and healthy aging. The variation in resilience in populations suggests biological and molecular regulatory mechanisms that might provide insight into interventions to improve resilience, healthy aging and longevity. In this session, speakers will provide insight regarding short-term assays of resilience in animal models that prove useful both in delineating these biological mechanisms as well as inform on potential translational models to better understand biological resilience in human populations. The sessions focus is on defining these assays and discussion of the biological relevance each resilience assay in terms of the regulation of aging. The goals of these studies range from identifying potential predictors of individual lifespan within markers of functional resilience to leveraging geroscience to define whether markers of resilience can be modified through interventions to the aging process. Moreover, better understanding of the biology of resilience could assist in defining novel interventions that improve resilience and thereby enhance longevity."}
+{"text": "Rupture of ascending thoracic aortic dissection mimicking pulmonary thromboembolism due to pulmonary artery occlusion is rare and should be considered in hypoxic patients with aortic dissection. We describe a case of an 88-year-old male who presented with shortness of breath and hypoxia. Chest radiograph demonstrated airspace opacification in the right lung mainly involving the mid and lower zones . TransthCT demonstrated a dissection flap at the ascending thoracic aorta extending caudally to the aortic root and cranially to the origin of left common carotid artery . The braUnfortunately, the patient deteriorated soon after the CT scan and passed away within 24\u2009h after the CT.The ascending thoracic aorta and the PT are invested in a common sheath of serous visceral pericardium. Occlusion of the RPA from rupture of ascending aortic dissection into the common sheath shared by the aorta and pulmonary artery is rare. It can mimic pulmonary thromboembolism and it is important to distinguish from this as anticoagulation is contraindicated.1 had similar imaging findings mimicking thromboembolism. They describe the susceptibility of compression of the RPA by pathology of the ascending aorta due to the anatomical relationship with the aorta at this level and the common tunica adventitia shared by the aorta and PT. Buja et al2 described medial rupture of an ascending aortic aneurysm resulting in adventitial haematoma compressing the PT. A case of pulmonary hypertension caused by compression of the pulmonary arteries by dissecting ascending aortic haematoma was reported by Kim et al3 Another case of transient pulmonary hypertension caused by extrinsic compression of the pulmonary trunk was reported by Okiwelu et al4, due to a contained rupture of proximal ascending aorta, likely from a penetrating atherosclerotic ulcer.One case of an ascending aortic dissecting aneurysm causing RPA occlusion described by De Silva et alIt is important to consider rupture of ascending aortic dissection into the common sheath as a cause of pulmonary artery occlusion. Occlusion can mimic pulmonary thromboembolism and it is important to distinguish from this, as anticoagulation is contraindicated.CT should be considered in cases of dissection, even when a dissection flap is clearly visible on TTE. CT will demonstrate extension of the dissection in the ascending aorta, aortic root and possible involvement of pulmonary artery, which cannot be assessed on TTE."}
+{"text": "To gauge the breadth of current inflation and prospects for inflation returning to target, we consider disaggregated measures of CPI infl ation to evaluate trends and then consider diff erent scenarios for the realisation for wages and prices."}
+{"text": "The authors regret that in the original article an incorrect email address was given for the corresponding author Sang-Wha Lee. The correct email address is shown here.The Royal Society of Chemistry apologises for these errors and any consequent inconvenience to authors and readers."}
+{"text": "COP cells have been identified as having a potential role in the pathogenesis of tissue loss syndromes such as osteoporosis and frailty. This is based on the hypothesis that their dysregulation may cause a decrease in bone and muscle formation, which also increase the risk of adverse outcomes such as frailty and disability. Whereas high numbers of COP cells have been associated with osteoporosis and fracture healing, a low percentage of COP (%COP) cells have been associated with frailty and disability. In addition, low expression of lamin A (a protein of the inner nuclear envelope) in COP cells has also been associated with frailty and disability in older persons. In this session, the evidence on quantification methods for COP cells in clinical settings and the potential clinical use of COP cells in tissue loss syndromes will be discussed. This discussion will include current evidence supporting the use of COP cells as a biomarker or as a novel therapeutic approach to these age-related conditions."}
+{"text": "Health technology has the potential to support behavior change by measuring performance and providing users with visualizations of this performance as feedback. Such visual feedback has had limited success in changing health behaviors, but it is not clear why. We conducted a systematic review of the visual feedback literature to develop an organizational framework representing the visual feedback-action process. We identified the components that have been investigated in the context of visual feedback. These components are classified into four categories: visualization types and variables ; feedback characteristics ; psychological processes and action . The insights will inform the design of feedback visualizations in a smartphone application to support medication adherence for older adults. More broadly, this integrative perspective will yield principles of feedback visualization techniques and components that influence the behavior change process and develop a roadmap to facilitate the design."}
+{"text": "The National Institute for Health and Care Excellence (NICE) has been applying the principles of evidence-based medicine to public health problems for over twelve years. This application is in effect the practice of evidence-based public health (EBPH) . NICE asInfrequently is it practical to assess the effectiveness of interventions for complex public health problems by traditional gold standard randomised control trials. The importance of context, wider determinants, subpopulation variability and the role of the non-human biology element often mean that specific high quality evidence is unavailable. There is often a lack of good outcome studies answering the specific \u2018what works\u2019 question. There are often fewer studies still that answer the questions what works for whom and under what circumstances? The evidence is also often too imprecise to determine the relationship between the intervention and the outcome.The public health evidence base is rarely perfect, if it were it would likely negate the need for, or change the approach and role of organisations such as NICE. Perhaps more importantly the question asked in the evidence interrogation at NICE is \u2018What is the best available evidence to answer the specific question being addressed?\u2019 We know public health questions may benefit from exploration of a broader range of evidence including that which is further down the hierarchy of evidence. By taking a transparent and systematic approach and pulling from evidence from a range of disciplines, NICE has been able to review and synthesise evidence for complex public health problems .The evidence used to generate NICE guidelines is diverse and consists not only of the traditional scientific published evidence but also stakeholder comments, grey literature, real world evidence and expert testimony . The defThis presentation will aim to describe the approach taken by NICE in interrogating the evidence base to develop national public health guidelines. The key challenges and some solutions will be illustrated through examples from evidence synthesis to support guidelines for non-communicable diseases."}
+{"text": "Brandenburg\u2019s federal state framework agreement (LRV) on the implementation of the national prevention strategy according to section 20f of Book 5 of the German Social Code specifies the structural and organisational bases for the further development of prevention and health promotion strategies. The targets and fields of action defined by the federal framework recommendations form part of the established structures of health target processes. The Alliance for Growing up Healthy in Brandenburg (BGA) therefore defines health targets with regard to the objective Growing up healthy stated in the federal framework recommendations. LRV partners thereby have agreed to develop activities sustainably and uphold the current quality standards. This includes a commitment to answering the needs revealed by health and social reporting.In 2018, the roundtable Starke Kinder \u2013 Starke Familien focused on \u2018child health and poverty\u2019. This year the thematic focus will be on applying the LRV as a basis for co-operative strategies to improve health equity for children and adolescents at the district and municipal levels.The planned report on the health and social conditions of children in Brandenburg aims to reveal the causes of health inequality and provide a basis for measures. To evaluate health and social conditions, the report will build on previous reports on child health in Brandenburg. This combined form of health and social reporting references multiple activities in Brandenburg and in addition to the efforts in the context of the Strong children, strong families roundtable, aims to further develop integrated municipal level prevention strategies, as well as implement Germany\u2019s National Prevention Strategy. The report matches health findings to the health targets of the growing up healthy alliance. The Koordinierungsstelle Gesundheitliche Chancengleichheit Brandenburg accompanies the establishment and implementation of co-operation projects at the district and municipal level.Brandenburg\u2019s health and social reporting provides comprehensive data and thereby a basis for monitoring the health and social conditions of children and adolescents. A key challenge remains improving the implementation of these findings in municipal level health planning."}
+{"text": "The concern relates to the provenance of this article as brought to our attention by Faisal Alhawaj, who denies authorship of this article and others published in Cureus. These articles were submitted and subsequently published purportedly as an effort coordinated by Imam Abdulrahman Bin Faisal University to ensure all medical interns publish at least one peer-reviewed article in order to qualify for enrollment in a postgraduate residency program as stipulated by The Saudi Commission for Health Specialties (SCFHS).The journal has not been presented with enough evidence to warrant the formal retraction of these articles as both Imam Abdulrahman Bin Faisal University and The Saudi Commission for Health Specialties have failed to respond to numerous communications requesting additional information regarding these allegations. While we acknowledge that the provenance of these articles is very much in question, we cannot act until these claims have been investigated by the appropriate institutions with the results of said investigation communicated to Cureus.The concern and this note will remain appended to the above-mentioned article until Cureus is provided with official confirmation from Imam Abdulrahman Bin Faisal University or The Saudi Commission for Health Specialties."}
+{"text": "In the UK, people with severe mental illness at a greater risk of poor physical health and have higher premature mortality than the general population, highlighting the importance of responding to physical health problems among patients suffering from psychiatric conditions. However, training for staff on inpatient psychiatric units to meet patients\u2019 physical health needs is sometimes overlooked and has not always been effective.According to NICE Clinical Guideline 25 (2005) and NPSA Rapid Response Report (2008/RRR010), staff on any psychiatric inpatient setting must be capable of monitoring, measurement, and interpretation of vital signs. They must have both adequate information and skills to identify signs indicating worsening of patients\u2019 health and respond effectively to severely ill patients.Hence, we aim to re-audit the results of a similar audit carried out in 2016 to review the level of medical emergency training (in terms of life support training) of clinical staff across the inpatient psychiatric wards at our local hospital - Stepping Hill Hospital- in Stockport.Our hypothesis is that there will be a gap in meeting the required standards for training.A questionnaire including 6 questions was given to staff on acute inpatient psychiatric units in Stepping Hill Hospital.The sample included 49 staff members from all the 3 wards included in the audit. The level of training of nursing staff on the 3 wards was meeting standards except for nursing staff who were new to the wards or coming back to work from prolonged leaves. There was also a gap identified in the level of training of other staff members on the ward as well as on the remaining standards measured by the audit.A gap was identified in meeting the required standards of training on the inpatient psychiatric units. Reasons identified for this gap are mainly due to the fact that new or bank staff are asked to cover the wards without providing them with appropriate training and without orientating them about the location of different equipments and policies on the ward."}
+{"text": "Residents of care homes across the globe are affected by the spread of SARS-CoV-2 as they have been identified as a high-risk group and because they experienced strict social isolation regulations during the first wave of the pandemic. Social isolation of frail older people is strongly associated with negative health outcomes. The aim of this research project was to investigate how residents in care homes experienced social isolation during the first phases of contact ban in Germany. This paper draws on structured interview data collected from 22 residents in two care homes during early June 2020 in Frankfurt/Main. The findings show that their experiences were shaped by three factors: care home staffs\u2019 approach to handling the contact ban; biographical sense of resilience; and a hierarchy of life issues. The findings highlight the importance of locally specific response mechanisms in care homes, and the need to contextualize residents\u2019 experiences."}
+{"text": "The origin and cell lineage of stromal cells in the bone marrow is uncertain. Whether a common stem cell exists for both haemopoietic and stromal cells or whether these cell lines arise from distinct stem cells is unknown. Using in situ hybridisation for detection of the Y chromosome, we have examined histological sections of bone marrow from seven patients who received marrow transplants from HLA-matched donors of the opposite sex. Stromal cells were identified in these recipients as being of host origin. This result is consistent with the concept of a distinct origin and separate cell lineage for cells of the haemopoietic and stromal systems. It also shows that engraftment of marrow stromal cell precursors does not occur and that host stromal cells survive conditioning regimens for marrow transplantation. With the exception of one case, with a markedly hypocellular marrow, mixed chimaerism was seen in haemopoietic cells, indicating that this is not a rare event after marrow transplantation."}
+{"text": "The in vitro activity of the novel chloroethylating agent, Clomesone, was investigated in a panel of established murine and human tumour cell lines. In vivo anti-tumour activity was examined against three transplantable adenocarcinomas of the mouse colon and in vivo bone marrow toxicity was assessed using a spleen colony forming unit assay. The pharmacokinetic behaviour of the drug in vivo and drug stability in vitro was analysed by gas chromatography with electron capture detection. Clomesone exhibited no activity in vitro against the majority of cell lines derived from solid human colorectal carcinomas. Anti-tumour activity against the murine tumours in vivo was not impressive and was accompanied by myelosuppression. Pharmacokinetic data suggested that the lack of in vivo activity was due to the failure to achieve effective anti-neoplastic drug concentrations at the tumour site. It was concluded that this study found no evidence to suggest that Clomesone was toxicologically more selective than the chloroethylnitrosoureas."}
+{"text": "The haemodynamics of the uterine arteries and myometrium were assessed using Doppler ultrasound in forty consecutive patients requiring treatment for invasive mole and choriocarcinoma. The investigations were performed prior to the commencement of chemotherapy and the subjects followed prospectively. The Doppler waveforms from the uterine arteries were analysed using the pulsatility index. It was found that patients with a pulsatility index of 1.1 or less were significantly more likely to develop drug resistance than those with a higher value (P < 0.04). There was no significant association between the pulsatility index and metastatic disease or uterine bleeding. Five out of eight patients who developed drug resistance could have avoided initial inadequate treatment if the Doppler findings were included in the scoring system for selecting chemotherapy for these tumours. It can be concluded that assessment of the uterine arteries using the pulsatility index prior to the treatment of patients with invasive mole and choriocarcinoma is of help in predicting those who will develop drug resistance."}
+{"text": "We measured immunoreactive EGF and TGF alpha in prostate tissue extracts obtained from 19 patients with benign prostatic hyperplasia (BPH) and 19 with cancer of the prostate (CaP). Whilst both BPH and CaP expressed EGF and TGF alpha in equal concentrations, the levels of EGF in any tissue extract were on average twice those of TGF alpha. Furthermore analysis of the individual growth factor data revealed a direct correlation between EGF and TGF alpha in both BPH and CaP . When the tumours were classified according to their Gleason score, a slight but significant increase in growth factor concentrations was noted as the tumour became less differentiated. We also measured the concentrations of testosterone and dihydrotestosterone (DHT) in prostate extracts with a view of elucidating the relationship between androgen and growth factors in this gland. There was a small positive correlation only between testosterone and EGF and testosterone and TGF alpha in CaP. The absence of any similar correlation in BPH where DHT becomes the predominant hormone may suggest an indirect role for testosterone in the regulation of growth factor production."}
+{"text": "Study of the distribution of the p21 ras oncogene product as demonstrated by monoclonal antibody Y13-259 shows this protein to be apparently present in all epithelial populations of both premalignant and malignant tumours and throughout the normal foetal and adult epithelial crypt population in the colorectum. Metastatic tumour in liver shows a similar staining pattern which is less intense however than in the surrounding normal hepatocytes. Our results suggest that the presence of this protein is a widespread feature of normal cellular metabolism in certain cell types and is not restricted to those actively involved in cellular proliferation. It appears, furthermore, that neither cells at different stages of carcinogenesis nor those representing variants of a malignant phenotype can be identified using this particular antibody."}
+{"text": "Neither testis nor epididymis was found to be invaded by L1210 leukaemic cells in spite of widespread dissemination through other organs and tissues. The same applied to animals in relapse after protracted remissions induced by cyclophosphamide. Prior damage to the gonadal vascular endothelium by Cd++ did enable leukaemic cells to enter the testicular interstitium, but not the depleted seminiferous tubules. Injection of cells into the lymphatic sinus system of the testis led to rapid peritubular proliferation and systemic dissemination but the seminiferous tubules were not penetrated. The histological appearance resembled that of human ALL. The results suggest that the L1210 system, using the intratesticular route for inoculation can be used to examine the susceptibility to drugs of leukaemic cells in this environment. The potential of drugs to damage the vascular endothelium of the gonad and perhaps contribute to the development of testicular relapse could be assessed following intramuscular inoculation of cells."}
+{"text": "The pattern of spontaneous screening for cervical cancer by general practitioners and gynaecologists in The Netherlands is compared with an efficient screening policy resulting from a cost-effective study. Spontaneous screening tends to start and stop too early in a woman's life, and leaves too many women overscreened or unprotected. The combination in young age of a low incidence of invasive cancer and a high incidence of regressive lesions explains relative ineffectiveness and harmfulness of present screening practice. When screening would take place between ages 30 and at least 60, with intervals of about 5 years, as many lives could be saved for half the costs and with only 60% of the unnecessary referrals and treatments. Much attention should be paid to the coverage of the target population. Therapeutic follow-up policies for dysplastic lesions should be restrained."}
+{"text": "The prone leg extension (PLE) is commonly used to identify dysfunction of muscle recruitment patterns. The prone leg extension is theorized to identify proximal muscle disturbances which are a result of distal injury or dysfunction (i.e. an ankle sprain). This case study compares the trunk and hip muscle timing during a PLE of a 27 year old female runner during a healthy state (pre ankle sprain) and 2 and 8 weeks post ankle sprain.The gluteus maximus muscle onsets at 8 weeks post injury appeared to occur earlier compared with 2 weeks post injury. The Right Erector Spinae at 8 weeks post injury was also active earlier compared with the participant's non-injured state. A large degree of variability can be noted within trials on the same day for all muscle groups.An acute ankle injury did not result in a delay in gluteus maximus muscle activation. The utility of the prone leg extension as a clinical and functional test is questionable due to the normal variability seen during the test and our current inability to determine what is normal and what is dysfunctional. The prone leg extension (PLE) test is used by therapists who manually palpate the posterior muscles and observe trunk kinematics in an attempt to identify deviations from a supposed optimal. A dysfunctional firing pattern is assumed to exist when postural muscles (hamstrings and erector spinae) initiate the movement and a delay in gluteus maximus firing is evident . As wellBullock-Saxton et al investigcause of disturbances in the muscle firing pattern during the PLE. Presented in this case study is a longitudinal quantitative assessment of the muscle onset timing of posterior trunk and leg muscles during the prone leg extension following an acute lateral ankle sprain. This case study will specifically address whether an acute ankle sprain precedes a delay in the muscle activation of the ipsilateral Gluteus Maximus muscle.The Bullock-Saxton study was a crThis case study is a product of serendipity. A 27 year old female runner was initially part of an experimental study documenting the muscle onset timing of the posterior leg and trunk muscles during the prone leg extension. At the time of the study the participant had no leg or spine injuries. The participant was part of the asymptomatic control group. Five months after the completion of the study this participant suffered an inversion right ankle sprain during a rainstorm while leaping into a camping tent filled with children. At 2 and 8 weeks post ankle sprain the PLE extension test was performed while recording the posterior muscle activation EMG to determine if an ankle injury influences the timing of muscle activation during the PLE as compared with an injury-free PLE onset timing pattern.Twenty seven year old female distance runner suffered a right ankle inversion sprain. X rays revealed no fractures. Informed consent to participate in this study was received from the subject. In the initial study the participant read and signed an information and consent form that was approved by the Research Ethics Board of CMCC. For the second half of the study the subject was notified of the risks and benefits of the study which complied with the World Medical Association declaration of Helsinki on the ethical conduct of research using human participants within a private practice and agreed to have her results published.No passive therapy was received by the participant. The participant was encouraged to perform daily weight bearing exercise and range of motion exercises. The participant was running within two weeks of the injury with pain and not at her pre injury level. At two weeks post injury the participant reported that she felt she was functioning at 60% of her optimum. At 8 weeks post injury the participant reported that she was running 95% pain free with little loss of function.An identical testing protocol was used across the 3 experimental days . The muscle activity of the right gluteus maximus, bilateral lower erector spinae, and right hamstring muscle groups was recorded during right prone leg extension while lying prone on a manual therapy table. The position of the leg was controlled in all planes visually by the experimenter. A rig restricting movement or a kinematic analysis system to ensure an identical movement across trials was not used as this is not similar to what occurs during practice. The control of proper form was limited to a visual assessment as this most resembles clinical practice.Disposable bipolar Ag-AgCl disc surface electrodes with a diameter of one cm were adhered bilaterally over the five muscle groups with a centre to centre spacing of 1 cm. Raw EMG was amplified 5000 times. The amplifier has a CMRR of 10,000:1 . Raw EMG was band pass filtered (10 and 1000 Hz) and A/D converted at 2000 Hz using a National Instruments data acquisition system.The prone leg extension exercise was performed five times during each experimental session. The task required the subject to lie prone at complete rest with no movement while the EMG from each muscle was collected for 5 seconds. The subject then extended their straight right leg approximately six inches off the table. The leg was held isometrically for 3 seconds then lowered to the table.The data from each PLE trial was processed in the same manner. The aim of the processing for this study was to determine the order and timing of muscle activation. To determine muscle timing, it is necessary to determine when a muscle is considered active or \"on\". A muscle was considered \"on\" when the level of muscle activity was greater than 10% of the peak muscle activity during the prone leg extension. This method of determining muscle onset was used in the previous study by Bullock-Saxton et al . The ordThe data was processed in the following manner: The raw EMG signal was first full wave rectified, then smoothed using a moving average technique which averaged every 100 points of data with an overlap 98 points. The bias was removed from the signal to allow resting activity to be at 0. The peak muscle activity was found and each data point was divided by this peak muscle activity. In this way, muscle onset could be determined by determining the time when the myoelectric signal exceeded 10% of the maximum. The signal was visually inspected to ensure that no artefact occurred or that the results were biologically feasible.Table To the knowledge of the author this is the only prospective case documenting the longitudinal influence of an inversion ankle sprain on muscle activation patterns during the prone leg extension test. The results from this one participant failed to support the idea that lower limb injury leads to a delay in gluteus maximus firing as suggested by the cross sectional study of Bullock-Saxton et al .Conversely, at 8 weeks post ankle sprain there was a decrease in the latency of the gluteus maximus muscle (the muscle fired earlier). This earlier firing is similar to the differences in onset timing of the gluteus medius during lateral ankle perturbations between groups with chronically sprained ankles and controls . BeckmanThe lack of support from this case study and previous research questions the utility of the PLE in determining dysfunctional muscle firing patterns. There is little support in the research literature for the use of the PLE test in assessing muscle onset dysfunction. Further evidence against the use of the PLE in adequately assessing muscle function is found in the conclusions of Pierce and Lee and Lehmwas not associated with a delay in the gluteus maximus activity. The Gluteus Maximus at 8 weeks post injury fired earlier than 2 weeks post injury and showed a trend to firing earlier than in a healthy state.An interesting trend in changes in muscle activation was earlier muscle activation of the erector spinae activity. Before the injury both erector spinae were active after the hamstring group. Eight weeks post injury the erector spinae preceeded hamstring activation by more than 130 ms. This earlier activation was also seen in the contralateral Erector Spinae at 2 weeks post injury (56.2 ms before hamstring activation). Bullock-Saxton et al [Another weakness of the PLE test is the high variability between trials within one individual (as seen in the current case study) and across individuals. This variability appears normal and limits the use of EMG in producing data which can identify individuals with dysfunction ,4. Last,While this case study failed to support the proposal that distal dysfunction may result in proximal dysfunction manifesting as aberrant muscle onset timing of the gluteus maximus during the PLE, the PLE as a clinical assessment test may still have value. The only means of assessing the PLE has been via muscle onset timing with electromyography. As stated earlier the trunk and hip kinematics of the participant are observed during the performance of the movement. No research to date has measured the kinematics with the aim of identifying and quantifying optimal and dysfunctional movement patterns (as opposed to the motor patterns assessed with electromyography). Quantifying these kinematics may lead to determining the discriminant ability of this test for the identification of dysfunction. The PLE may have more clinical utility as a crude test of function \u2013 minor differences in muscle onsets may have no clinical value and may not be easily detected by observation; however, major dysfunctions in muscle activation (i.e. no observable gluteus maximus contraction) would be more easily detected and may be of more clinical value. For example, during the test a patient's buttock may remain flaccid. This is easily seen and may be indicative of inhibition and possible dysfunction. The use of the PLE as a gross detector of dysfunction may be more supportable than being used to questionably detect subtle differences in firing patterns that are within 200 ms of each other.An acute ankle injury did not result in a delay in gluteus maximus muscle activation. The utility of the prone leg extension as a clinical and functional test is questionable due to the normal variability seen during the test and our current inability to determine what is normal and what is dysfunctional.The author(s) declare that they have no competing interests."}
+{"text": "The value of the inclusion of doxorubicin hydrochloride (dox) in Cooper type regimens in advanced breast cancer was assessed by performing an overview employing summary statistics derived from published papers of randomised clinical trials comparing Cooper type regimens that contain dox with regimens in which dox was replaced by one or more compounds. Trials were selected which published data on survival, time to treatment failure and response rate. This study suggests that dox confers advantages on all of these endpoints and that the size of such benefits needs to be taken into account when deciding whether to use dox."}
+{"text": "Transvenous pacemaker lead implantation is the preferred method of pacing in adult patients. Lead performance and longevity are superior and the implantation approach can be performed under local anaesthetic with a very low morbidity. In children, and especially in neonates and infants, the epicardial route was traditionally chosen until the advent of smaller generators and lead implantation techniques that allowed growth of the child without lead displacement. Endocardial implantation is not universally accepted, however, as there is an incidence of venous occlusion of the smaller veins of neonates and infants with concerns for loss of venous access in the future. Growing experience with lower profile leads, however, reveals that endocardial pacing too can be performed with low morbidity and good long-term results in neonates and infants. Cardiac pacing in infants and children has evolved considerably since the initial implants over half a century ago. Pacemaker generators have become smaller and are now easily accommodated subcutaneously or submuscularly either in the chest or the abdominal wall in the smallest of infants. Improvements in lead technology have enabled lower chronic thresholds with greater mechanical and electrical integrity and longevity of the leads and the pacemaker system. While endocardial leads have consistently proven to be superior to epicardial leads both mechanically and electrically, the development of steroid eluting epicardial leads has improved the effectiveness of epicardial systems . The chiThe choice of the method of permanent pacing is determined by the patient\u2019s size, and presence of structural heart disease. While a large body of opinion holds that neonates and infants should receive epicardial pacing systems -4, experEndocardial leads are increasingly preferred for small infants in other centres as well -16. The Studies specifically comparing pacing via the endocardial route versus the epicardial route in small infants are lacking. The incidence of venous obstruction and occlusion has rarely been addressed. Venous obstruction due to endocardial leads in a small group of newborns and infants was assessed by Stojanov et al . In 12 cStojanov et al promote a cephalic vein cut down rather than a subclavian puncture approach in the very small . It may Endocardial pacing in neonates is not for the faint-hearted as lead replacement is likely to be needed in at least some of the patients. While extracting 11 leads uneventfully in nine patients , Kammeraad et al [Although epicardial leads do not carry a risk of venous thrombosis, there is an increased perioperative morbidity . PatientNeither the epicardial nor the endocardial approach in permanent pacing is free from complications. The experience reported with endocardial pacing in neonates and infants while encouraging is limited and no directly comparative data with epicardial pacing are available. Although the clear advantage of endocardial pacemaker implantation over the epicardial approach has yet to be demonstrated, the growing experience indicates that endocardial pacing is feasible and effective even in neonates and small infants - and it is an acceptable alternative to epicardial systems. The current disadvantages of endocardial leads may be overcome in the future by downsizing of the leads and extraction systems. The ultimate approach in very small children currently will depend on the facilities and experience of the surgeons and cardiologists in each centre."}
+{"text": "Fogel's suggestion of a grading system according to the level of peer review (reminiscent of grading systems for \"level of evidence\" of primary studies) is interesting, but further study is required to determine to what degree the proposed ratings actually correlate with quality or peer review rigor. My suggestion was to r"}
+{"text": "Male and female age standardised mortality and incidence rates of colorectal cancer have increased over the most recent 30 years in New Zealand. Among men and women aged 40 to 74, age standardised mortality and incidence rates increased 18 to 105%. However, age standardised mortality and incidence rates among younger men and women have declined from 14 to 69%. Analysis of trends in age specific mortality and incidence rates indicates that the occurrence of colorectal cancer has been declining equally for men and women in successive cohorts born about 1943 to 1953 in New Zealand. This decline in the frequency of colorectal cancer among recent generations was apparent for both the right and left sides of the colon and the rectum. Age-specific trends in coronary heart disease and breast cancer differed from those apparent for colorectal cancer, suggesting that the factors producing the reduction in colorectal cancer risk may affect these diseases among different age groups or may not be of major aetiological importance in these diseases. These trends provide empirical evidence that the occurrence of colorectal cancer can be reduced by at least 50% with a substantial component of the risk being determined before the age of 30. Further study is needed to establish whether changes in risk factors at older ages contribute to the prevention of the disease."}
+{"text": "On most common microarray platforms many genes are represented by multiple probes. Although this is quite common no one has systematically explored the concordance between probes mapped to the same gene.Here we present an analysis of all the cases of multiple probe sets measuring the same gene on the Affymetrix U133a GeneChip and found that although in the majority of cases both measurements tend to agree there are a significant number of cases in which the two measurements differ from each other. In these cases the measurements can not be simply averaged but rather should be handled individually.Our analysis allows us to provide a comprehensive list of the correlation between all pairs of probe sets that are mapped to the same gene and thus allows microarray users to sort out the cases that deserve further analysis. Comparison between the set of highly correlated pairs and the set of pairs that tend to differ from each other reveals potential factors that may affect it. High density DNA microarrays are extensively used by biologists in order to gain information about the expression levels of thousands of genes simultaneously. The advantage of the genomic approach is that it allows the study of cell behavior on the systems level rather than on the gene specific level . One of A related issue which has been studied extensively in recent years is the question of cross platform comparisons in which researchers try to compare results obtained for the same gene on different microarray platforms. Overall there is only limited agreement between experiments performed on different platforms . ManyIn order to compare RNA measurements from two different regions of a gene on the same array, we chose to explore the Affymetrix U133a platform since it is a very popular platform with thousands of publicly available datasets. The U133a platform contains 20,267 probe sets which are mapped to 12,942 distinct genes with 4,552 of them represented by multiple probe sets .In order to asses the overall agreement within pairs of probe sets, we decided to look at the Pearson correlation between the set of measurements for each of the probe sets in each dataset. We chose the Pearson correlation as our metric since it is not sensitive to differences in scaling and average expression levels but rather compares the degree of linear relationship between the two probe-sets which is a better indication for the overall similarity. We calculated the correlation coefficient of all the informative pairs in each dataset. Histograms of these correlations and correlations obtained by a random list of pairs are shown in figure Comparison of the correlation values obtained in the different datasets revealed a high degree of correlation between them figure , suggestOne of the main purposes of our analysis was to guide microarray users in cases of genes that are represented by multiple probe sets. The users would like to know when the multiple measurements can be combined and when they should be handled with caution. In order to achieve this goal, we wanted to define a list of pairs which show overall good agreement between them. This list should be based on the combination of the correlation values calculated in each dataset. Thus for each pair, we combined the individual P values obtained for each dataset in which it was informative, resulting in a single combined P value for each pair. A list of all the pairs along with their combined P values is included in Microarrays users frequently ask themselves what to do when a gene is represented by multiple probes. Our analysis provides a partial solution to this problem by mapping all the pairs of probe sets on the Affymetrix U133a platform and providing a significant measurement as to whether the transcription levels reported by the two different probe sets correlates. In order to demonstrate that the combined P value may be useful in analyzing microarray data, we calculated the number of cases in which averaging the intensity reported by a pair of probe sets is misleading. The clear dependency between the error rate level and the P value and pairs which did not show a significant concordance between them .Intra array repeats are printed on the same array and therefore they share all the external conditions and differ from one another only in the particular sequence chosen to be printed on the array. Thus multiple probe sets printed on the same array serve as an excellent case for exploring the contribution of sequence effects to the overall deviation of the transcription values reported by each probe set. To this end we defined two large sub groups of pairs (each containing approximately 1500 pairs) \u2013 pairs that were highly correlated for the s_at and x_at suffixes in the \"good\" pairs figure , suggestMicroarray users frequently encounter the problem of different values for the same gene resulting from multiple probe sets. Without clear guidelines from the manufacturers, each investigator deals with this problem in a different way, some are not aware of it and therefore either use the first appearance of the gene or use the probe set that fits their expectations better. Alternatively, users may use the average of all probe sets without validating that all indeed report similar transcription rates. In order to help microarray users to chose the right approach for multiple measurements of a gene in the Affymetrix U133a GeneChip we examined all such cases and developed a statistical method to asses the agreement between the measurements in each of these cases. Our method is based on the calculation of the Pearson correlation between all the measured values of a pair of probe sets along all the experiments in a data set. The Pearson correlation gives a good estimation of the overall agreement between such pairs without being sensitive to variability in the average expression level reported by the probe sets. We excluded from the analysis probes that were non informative either because their expression level was below detection or because their expression level did not change (>2 folds) along the experiments. As expected the correlation values obtained between probe sets from the same gene were much higher than those obtained from randomly chosen pairs of probe sets with 77% of the pairs reporting similar values. The pairs of probe sets where sorted according to the statistical significance of the Pearson correlation between them and a list of all the pairs together with their P value is provided see . This liThe division of the pairs of probe sets into those that tend to agree (\"good\") or disagree (\"bad\") allows us to examine the factors affecting it. The deviation between two probes that are mapped to the same gene may be due to several reasons including alternative splicing, mistakes in the annotation and differences in the efficiency each probe set reports the transcription. We found no evidence for the contribution of alternative splicing to the disagreement between probe sets figure . On the Recent studies about cross platform comparisons found that the best results are obtained if the comparison is done on the probe level rather than on the probe set level ,18,19, sThe observation that non unique probe sets perform better than unique ones figure is surprOur analysis suggests that in most cases (77%) pairs of informative probe sets report similar transcription levels. However, it should be noted that our decision to concentrate only on informative probe sets may influence those results. By excluding from the analysis the most problematic cases in which one probe set is informative and the other is not we elevated the percentage of cases with good correlation see . These cThe analysis of the differences between the \"good\" and the \"bad\" pairs suggests that biological differences such as alternative splicing have a very limited contribution to the disagreement between probe sets. This conclusion was derived from the current knowledge of the genome sequence and of splicing variants (using fairly strict criteria). Updates of the genome sequence and advancements in the technology of measuring splice variants (such as the use of exon microarrays) may change this conclusion. Although those changes may affect the reasons for the disagreements between probe sets it will not change the definition of \"good\" and \"bad\" pairs. Only updating the probe set definition according to the new sequence information may solvAn important internal control for microarray experiments is multiple array spots that are mapped to different regions of the same genes. In the ideal world these different probe sets should give similar measurements for expression of the gene. Our analysis tested whether this is true using four data sets that used the Affymetrix U133a platform. We found that in the majority of such cases both measurements agree and thus using the average value of the probe sets would be appropriate. However in a significant number of cases this approach is not suitable and our results can guide the user in deciding about each case. Further analysis is needed to define guidelines for choosing better regions in the gene that will represent the transcription level more accurately.For our analysis we downloaded the data of four large experiment series from the gene expression omnibus database . We chosIn order to define intra array repeats, we used Affymetrix annotation and defined 11,722 pairs of probe sets in which both members were mapped to the same gene. In order to compare the RNA levels reported by the two probes in each pair we calculated the Pearson correlation between the expression values (log transformed) reported by each probe set in all the experiments in each dataset. We also performed Spearman correlation and the results see are verySince we were interested only in the correlations between probe sets of active genes we looked only on probe sets that passed two filtering criteria \u2013 they got a present call (P) in at least 10% of the experiments in a dataset and they showed at least 2 fold changes in their expression level over the average in at least 10% of the experiments. This filtering resulted in a different number of informative pair of probe sets for each dataset , pairs with only one informative probe set (red) and pairs in which both probe sets are informative (red). See methods for the definition of informative probe set.Click here for fileExcel file containing information about the Spearman correlation values of all pairs of probe sets in all the four datasets.Click here for file2 values. The only dataset with spots that are not along the diagonal is GSE1133 in which ~5% of the spots deviate from the diagonal by >2 folds, the remaining spots gave R2 = 0.93.Scatter plots showing the Pearson correlation values (X axis) against the Spearman correlation values (y axis) of all the informative pairs in the 4 data sets. Note that the spots are arranged along the diagonal with high RClick here for file"}
+{"text": "Eighty-one patients with advanced breast cancer completed the Hospital Anxiety and Depression Scale (HADS) and Rotterdam Symptom Checklist (RSCL) to determine how well these questionnaires identified patients suffering from an anxiety state or depressive illness, compared with an independent interview by a psychiatrist who used the Clinical Interview Schedule. A threshold score was defined for each questionnaire which gave the optimal sensitivity and specificity. Seventy-five per cent of patients were correctly identified as suffering from an affective disorder by both the Rotterdam Symptom Checklist and by the Hospital Anxiety and Depression Scale. Twenty-one per cent of 'normal' patients were misclassified by the Rotterdam Checklist and 26% by the Hospital Anxiety and Depression Scale. When the HADs anxiety and depression subscales were analysed separately, the performance of the anxiety items was superior to that of the depression items. Both questionnaires were found to have good predictive value and could be used in patients with advanced cancer to help screen out those with an affective disorder."}
+{"text": "The presence of cellular aggregates in cell suspensions derived from human solid tumours often complicates subsequent evaluation of colony formation in primary soft agar cultures . In the present study, performance of a conventional colony formation assay was observed to lack sufficient sensitivity to identify growth and active chemotherapeutic agents in the majority of specimen cultures. Modification of conventional methodologies to include filtration of cell suspensions, use of \"proliferation control\" and \"cytotoxicity control\" cultures as well as vital staining were found to be essential for the valid assessment of primary soft agar cultures in our laboratory. In addition, application of drugs to culture surface in place of culture incorporation appeared to facilitate culture performance and drug sensitivity testing."}
+{"text": "The effect of the synthetic progesterone, megestrol acetate, on weight loss induced by both tumour necrosis factor alpha (TNF) as a model for the cachexia accompanying the acquired immunodeficiency syndrome and by a cachexia-inducing tumour (MAC16) has been studied in NMRI mice. Megestrol acetate was effective in preventing weight loss in both model systems with treated animals having an increase in intake of both food and water. Megestrol acetate was unable to prevent loss of body weight in animals pair-fed with TNF treated animals, suggesting that the increase in food and water intake was responsible for the increase in body weight. Analysis of body composition showed that the major contribution to the increase in body weight in animals treated with megestrol acetate was an increase in water content, although there was also an increase in carcass fat in animals bearing the MAC16 tumour given the high dose of megestrol acetate. Animals bearing the MAC16 tumour had a significant increase in tumour weight after treatment with megestrol acetate, possibly owing to the increased plasma glucose levels. These results suggest that an increase in appetite and weight gain alone are not sufficient to justify the anticachectic effect of a particular agent and that body composition analysis and tumour growth rate are very important parameters."}
+{"text": "The effects of different doses of hydralazine and prostacyclin on the 31P magnetic resonance spectra of the LBDS1 fibrosarcoma were investigated and related to their effects on mean arterial blood pressure (MABP) and heart rate. The effect of reducing MABP by bleeding the animals, via the tail artery, was also investigated. Tumour spectral changes following high dose drug treatment were consistent with nutrient deprivation. These changes were dose dependent. Changes in MABP and heart rate were consistent with vasodilatation in normal tissues. However, for the same fall in MABP, hydralazine produced a greater rise in tumour inorganic phosphate (Pi) and a greater fall in tumour pH than did prostacyclin. Controlled bleeding was effective in reducing MABP. It also reduced tumour pH but had no significant effect on tumour Pi. The clinical application of the two drugs for reducing tumour blood flow and pH for therapy is likely to be limited by the large degree of hypotension necessary to produce an effect. The differential effect of the two drugs for the same fall in MABP may be related to different degrees of direct tumour vasodilatation or to a direct effect of hydralazine on tumour energy metabolism. The observation that controlled bleeding does not change tumour Pi is further evidence indicating that the degree of arterial hypotension is not the sole factor in determining tumour energy status."}
+{"text": "In order to assess whether exposure to stress was associated with an increased risk of breast cancer, 100 women presenting with carcinoma of the breast completed a standard life events inventory documenting life stresses experienced during the previous three years. The same questionnaire was completed by 100 women presenting with benign breast lumps and 100 apparently healthy controls. Both groups of patients with breast disease also completed the Eysenck personality inventory. There was no difference in the number of stressful life events experienced by the patients with benign and malignant breast lesions and the nature and severity of those stresses encountered were similar for both groups. The personality indices were also the same for both groups. The controls, however, recorded significantly higher levels of stress exposure than the patients with breast disease. On the basis of this series, there is no evidence to support the hypothesis that stress predisposes to breast cancer development."}
+{"text": "Paragangliomas of the head and neck (glomus tumours) can occur in a hereditary pattern and may be hormonally active as well as being associated with paragangliomas elsewhere. A number of these tumours may be present without symptoms. To detect the presence of subclinical paragangliomas we screened 83 members of a family at risk of developing hereditary paragangliomas using whole body MRI and urinary catecholamine testing. In eight previously diagnosed members, eight known glomus tumours of which one functioning, and two unknown glomus tumours and one unknown pheochromocytoma were present. Six unsuspected members showed ten glomus tumours and one pheochromocytoma. It has been suggested that the manifestation of hereditary glomus tumours is determined by the sex of the transmitting parent. There were no tumours in the descendants of female gene carriers. Comparing the likelihood of inheritance with genomic imprinting versus inheritance without genomic imprinting we found an odds ratio of 23375 in favour of genomic imprinting."}
+{"text": "It is now recognised that the breast exhibits a circadian rhythm which reflects its physiology. There is increasing evidence that rhythms associated with malignant cells proliferation are largely non-circadian and that a circadian to ultradian shift may be a general correlation to neoplasia.Cancer development appears to generate its own thermal signatures and the complexity of these signatures may be a reflection of its degree of development.The limitations of mammography as a screening modality especially in young women with dense breasts necessitated the development of novel and more effective screening strategies with a high sensitivity and specificity. Dynamic thermal analysis of the breast is a safe, non invasive approach that seems to be sensitive for the early detection of breast cancer.This article focuses on dynamic thermal analysis as an evolving method in breast cancer detection in pre-menopausal women with dense breast tissue. Prospective multi-centre trials are required to validate this promising modality in screening.The issue of false positives require further investigation using molecular genetic markers of malignancy and novel techniques such as mammary ductoscopy. Breast cancer is one of the most common cancers, it is estimated that one in eight women in the USA will develop breast cancer during their lifetime -4. FurthIn addition to mammography, non invasive new modalities have been developed to allow the early detection of breast cancer in all age groups and more importantly in young women with dense breast tissue and women who have high risk of developing breast cancer such as, women with strong family history and carriers of BRCA1 and/or BRCA2 genes.Currently, magnetic resonance imaging (MRI) is being studied for the early detection of breast cancer. Its sensitivity in high risk women has been found to be much higher than mammography but with a lower specificity ,6. KriegElectrical impedance scanning (EIS) is another modality under development for breast cancer detection especially in young women with dense breasts . The basFurthermore, mammary ductoscopy (MD) and visualization of mammary ducts and proteomics of nipple aspirate fluid (NAF) and serum are promising screening modalities that require further evaluation ,10.The limitations of mammography as a screening modality especially in young women with dense breasts necessitated the development of novel and more effective screening strategies with a high sensitivity and specificity.This article focuses on the dynamic thermal analysis as an evolving non invasive and a safe method in breast cancer detection in pre-menopausal women with dense breast tissue and women at high risk due to family history or genetic predisposition.It is now recognised that the establishment and growth of a tumour depend on neovascularization. This successful recruitment of new blood vessels into a tumour; also known as angiogenesis is dependent on angiogenic growth factors produced by the tumour cells . Such neEarlier technology for assessing thermal abnormalities in the breast focussed on the presence of the abnormal temperature as a crucial marker -17. In aThe superficial thermal patterns measured on the surface of the breast seem to be related to tissue metabolism and vascularization within the underlying tissue. Such thermal patterns change significantly as a result of normal phenomena including menstrual cycle, pregnancy and more importantly the pathologic process itself. Additionally, cancer development represents the summation of a large number of mutations that occur over years, each with its own particular histologic phenotype -23.Such changes appear to generate their own thermal signature and the complexity of these signatures may be a reflection of their degree of development -28.Temperature in a normal breast increases from the skin into the deep tissue and heat conductivity in the healthy breasts is constant in most cases and generally can be characterized in terms of circadian rhythm periodicity . In contFurthermore, the unique relationship between the thermal circadian rhythm and mitotic activity could be considered as a first warning of tumour development, which can be detected using a safe and non-invasive technology. The genes that drive the circadian rhythm are emerging as central players in gene regulation throughout the organism, particularly for cell-cycle regulatory genes and the genes of apoptosis .Recent technological advances have facilitated the recording of circadian rhythm variations of the breast and analysing the recorded data using highly complicated computer statistical software. A miniaturized microprocessor has been developed to record and store thermal information collected from eight separate sites of each breast. Sensors are placed in anatomically critical positions elicited by data obtained from tumour registries as to where cancers are most likely to develop.In the First Warning System , thermal data are collected every five minutes for a period of 48 hours during which time women are encouraged to maintain their daily activities. 9000 pieces of data are recorded by microprocessors during the test period and analysed using specially developed statistical software. Temperature points from each contralateral sensor are plotted against each other to form a thermal motion picture of a lesion's physiological activity.Such a technology was first used by Farrar et al who examined a cohort of 138 women who had been scheduled for open breast biopsies based on the finding of physical examination and mammography . A totalOne of the main challenges to this technology is the false positive cases; confusion could be created in these women who are characterized as being positive or high risk by dynamic thermal analysis in the absence of physical and mammographical signs. This group of women may or may not have cancer in its earliest stages. Further retrospective analysis of the thermal data using a refined neural net algorithm may increase the sensitivity and reduce the number of false positives. Also this group of patients may well benefit from the new advances in the nipple aspirate fluid analysis and proteomic profiling technologies. Research is currently ongoing on this subject and the initial results are promising .Dynamic thermal analysis of the breast is a safe, non invasive approach that seems to be sensitive for the early detection of breast cancer especially in young women where the conventional mammography is of limited value. Such a technology could become the initial breast screening test in pre-menopausal women and those who are classified as positive can then be selected for anatomical imaging with mammography, MRI and/or ultrasonography. Further refinement of the neural net algorithm is required in order to shorten the period of data recording and improve specificity. Prospective multi-centre trials are then required to validate these promising observations. The issue of false positives require further investigation using molecular genetic markers of malignancy and novel techniques such as mammary ductoscopy .Finally, a better understanding of the circadian rhythm biology ,30 and c"}
+{"text": "In 1999 the membership of the International Life Sciences Institute (ILSI) Health and Environmental Sciences Institute (HESI) formed a multisector consortium to address challenges associated with the integration of genomics data into risk assessment . FollowiIn 2004 we have seen considerable progress in many of the areas mentioned above, particularly in our technical ability to execute microarrays and to analyze and interpret the resultant data. The experimental program of the HESI Genomics Committee clearly demonstrated that it is possible to replicate data on biologic pathways across laboratories and technical platforms . The comThe efforts of the HESI Committee on Genomics regarding experimental collaboration and toxicogenomics database development suggest The risk assessment community is also striving both to harness the collective power of publicly available data sets and to facilitate exchange of single data sets for safety evaluation. As such, numerous formats for the capture and exchange of microarray and toxicology data have become available and/or are under development . DiversiThe HESI Committee on Genomics looks forward to an ongoing role as a multi-stakeholder consortium committed to facilitating discussion on the scientifically sound use of genomics for risk assessment."}
+{"text": "Dopamine acts as neurotransmitter in the central and peripheral sympathetic nervous system. Determination of dopamine (DO) was performed by spectrophotometric analysis depending on the formation of new colored compound. The proposed procedure was efficient in quantitative determination of DO as pure material in pharmaceutical preparations and in urine samples. DO concentration in urine sample of patient confirms the affection with schizophrenia and the proposed procedure was used to facilitate diagnosis and followup of schizophrenic patients. It is recommended to apply the proposed procedures as routine analysis in pharmaceutical companies for quality control and in analytical laboratories to diagnose and follow up schizophrenia."}
+{"text": "Standard (UICC) crocidolite was subjected to ball milling to reduce the length of the fibre. These milled materials and the original standard sample were injected into the pleural cavity of rats to determine their ability to induce mesothelioma. Previous in vitro work on the same materials had suggested that biological activity was related to fibres greater than 6.5 microns in length and that the material milled for 4 and 8 h did not contain fibres in this range and was biologically inactive. The results of the animal work, however, did not follow this pattern; mesotheliomas occurred in rats in all treatment groups including the 4 and 8 h milled samples. Examination of the tissues and the dust recovered from them showed the presence of fibres greater than the suggested threshold. Attention is drawn to the problems associated with drawing conclusions from size distributions and in vitro studies without considering in vivo mechanisms."}
+{"text": "Programmes of education in breast self-examination with specialist clinics for self-referral were introduced in two health districts around 1980. Combining the results from the two centres showed no reduction in mortality from breast cancer over the following 10 years but the mortality was low in one of the centres whilst in the other it was higher than in four geographically separate comparison centres in which there was similar careful monitoring of breast cancer incidence and mortality. Because this was not a randomised controlled trial and lacked a uniform treatment protocol, biases may be responsible for the differences observed, but it is also possible that BSE education with annual reinforcement contributed to the breast cancer mortality reduction seen in one district. The overall conclusion however is that the value of breast self-examination remains unproven."}
+{"text": "In this issue of the Journal of Medical Internet Research, the reader is presented with two important studies that focus on the challenges of integrating patient participation and partnership in medical informatics. Both studies address the enormous potential of information technology to effect change in health by influencing patient behavior.The study by Ross et al is a randomized controlled trial of SPPARO (System Providing Patients Access to Records Online), a patient-accessible electronic patient records (EPR) system implemented at the University of Colorado, measuring its impact on health outcomes and patient satisfaction . SPPARO The SPPARO study also serves to illustrate two key dilemmas facing clinical informatics researchers. In defining the unit of analysis, is \"access\" the antecedent for change in outcomes, or is it more appropriate to look for some kind of behavioral change, like technology acceptance or actual system utilization ? FurtherThe second study by Kim and Johnson observes the contributory role of format on the subsequent accuracy of data entry by patients in personal health records (PHR), and vividly illustrates the most important challenge facing developers: how to make the PHR useful for patients . The intIn conclusion, medical informatics research must continuously develop the capacity to demonstrate that information technology can effect positive change for patients . These t"}
+{"text": "To explain the possible effects of exposure to weather conditions on population health outcomes, weather data need to be calculated at a level in space and time that is appropriate for the health data. There are various ways of estimating exposure values from raw data collected at weather stations but the rationale for using one technique rather than another; the significance of the difference in the values obtained; and the effect these have on a research question are factors often not explicitly considered. In this study we compare different techniques for allocating weather data observations to small geographical areas and different options for weighting averages of these observations when calculating estimates of daily precipitation and temperature for Australian Postal Areas. Options that weight observations based on distance from population centroids and population size are more computationally intensive but give estimates that conceptually are more closely related to the experience of the population.Options based on values derived from sites internal to postal areas, or from nearest neighbour sites \u2013 that is, using proximity polygons around weather stations intersected with postal areas \u2013 tended to include fewer stations' observations in their estimates, and missing values were common. Options based on observations from stations within 50 kilometres radius of centroids and weighting of data by distance from centroids gave more complete estimates. Using the geographic centroid of the postal area gave estimates that differed slightly from the population weighted centroids and the population weighted average of sub-unit estimates.To calculate daily weather exposure values for analysis of health outcome data for small areas, the use of data from weather stations internal to the area only, or from neighbouring weather stations , is too limited. The most appropriate method conceptually is the use of weather data from sites within 50 kilometres radius of the area weighted to population centres, but a simpler acceptable option is to weight to the geographic centroid. A study of the possible effect of temperature and precipitation on gastroenteritis inspired an assessment of different methods for small area population exposure estimation techniques. The health data were obtained from a survey with respondents from Australia conducted between September 2001 and August 2002 . Microsoft Access was used to join the concordance table of POA-to-monitoring station proximity polygons to the daily observations, and averaged these whilst grouping by POA code and date in Options 1 and 2. Options 3 and 4 used \"joinby\" and \"collapse\" commands in STATA 8 to join Individual station files of daily meteorological data for 1990\u20132005 were parsed for integration in MS Access databases using visual basic code written by Melissa Goodwin at the National Centre for Epidemiology and Population Health.The CD populations from the 2001 census were obtained from the ABS . These dSome postcodes don't exist as POA and for these the locality names were found using the online postcode finder from the electronic telephone directory . These lMultipart POA were assessed by first using the ArcGIS multipart to single-part tool (features toolbox) and then counting the number of parts per feature (using the frequency tool).Internal stations were found using the intersect tool in the ArcGIS Spatial Analyst extension. This information was joined to the meteorological data using Microsoft Access.Nearest neighbour concordances were calculated by first creating proximity polygons of the appropriate stations (using the coverage tools), then overlaying and intersecting these with POA .Centroids were calculated using the Visual Basic for Applications script from the ArcGIS help menu. Then distances were calculated using the coverage toolbox \"point-distance\" tool. The projection was set to Albers South Asia Conic (metres) projection. This is necessary to avoid the distortion of length inherent with other cartographic projections .The author(s) declare that they have no competing interests.IH carried out the GIS analysis and drafted the manuscript. GH conceived the study, conducted the health analysis and helped to draft the manuscript. KD provided theoretical and conceptual guidance and helped to draft the manuscript. All authors read and approved the final manuscript."}
+{"text": "The multivariate lognormal survival model can be used to determine the relationship of prognostic covariates to two important parameters of malignancy. Cured fraction and median survival time among uncured patients. Analysis with this model revealed that cured fraction is primarily a function of histologic type and node status, while median survival time is primarily a function of age and node status. Patient sex was also related to likelihood of cure, but this association was of marginal significance. The symmetric impact of node status on both cured fraction and median survival time is consistent with known biologic principles. The strongly asymmetric relationships of histologic grade to cured fraction and age to survival time suggest, however, that likelihood of cure and survival time may not operate by identical biologic mechanisms."}
+{"text": "We read with special interest the article by We would like to focus on the potential neuroprotective role of iron against the deleterious effect of lead on the development of ADHD symptoms.Although the mechanisms underlying ADHD remain unclear, both genetic and environmental factors have been implicated. In a recent review on the implication of the dopaminergic system in the etiology of ADHD, Lead in the central nervous system may contribute to dopaminergic dysfunction inducing alteration of dopamine release and dopamine receptor density . MoreoveIn a controlled comparison group study, we showed tGiven that lead exposure may contribute to ADHD and iron deficiency may exacerbate deleterious effects caused by lead, we recommend systematically seeking for iron deficiency in children with ADHD. We also think that controlled studies assessing the potential effectiveness of iron supplementation on ADHD symptoms should be encouraged. Such studies could aid the understanding of the complex pathophysiology underlying ADHD and provide effective therapeutic strategies for this disorder."}
+{"text": "Pathology observer agreement studies are clearly important in the development of new pathology assessments and in the quality control of those assessments in common use. Setting up such studies, and reporting and interpreting their results requires careful thought and statistical expertise. Investigators are advised to seek collaboration with a statistician before embarking on these studies. Pathology reference panel reviews in multicentre studies are useful for checking eligibility when there is a high level of disagreement on the eligibility criterion between local pathologists and the reference panel members, but good agreement between members of the panel. However, such situations are uncommon."}
+{"text": "PLoS Medicine for initiating a students' forum [We congratulate and acknowledge s' forum and for PLoS Medicine, which is composed of articles selected by student representatives across the world. The unique integration of student associations with PLoS Medicine, and the journal's policy of not publishing advertisements for drugs or medical devices, will also enlighten students about the influence of drug companies in medical practice and enable students to realize their priorities in poorer countries for the future. Thereby, students may focus their attention on becoming professionals in developing new strategies to combat killer infectious diseases like malaria and tuberculosis, and malnutrition\u2014such as vitamin deficiencies among children and iron deficiency among pregnant women\u2014that are dreaded and very common in poorer countries.It will be really motivating for students from developing countries to actively take part in debate through the Student Forum of"}
+{"text": "There is ample evidence of the efficacy of cytological screening in the prevention of cervical cancer but disagreement on the form which screening programmes should take. Simulation models have been used as a convenient and rapid method of exploring the outcome of different screening policies and of demonstrating the importance and interrelationships of the variables concerned. However, most such models are either too abstract or too simplistic to be of practical value in planning screening programmes. A model is described which reproduces demographic events in a female population over a 30 year period, and onto this superimposes the natural history of cervical carcinoma, using data derived from published studies. A microsimulation approach--each individual in the population being retained as a unit--allows factors such as disease onset and screening uptake to be dependent upon personal characteristics and past events. Screening can be offered as part of a routine programme, or incidentally--for example during pregnancy or hospital attendance. The model allows quantitative evaluation of the complex patterns of screening that are actually observed and the relative importance of the different components of such screening programmes. Assumptions about natural history can thus be studied."}
+{"text": "Health Assessment (HA) items were introduced in 1999 for Aboriginal and Torres Strait Islander people aged at least 55 years and all Australians aged over 75 years. In 2004 a new item was introduced for HAs among adult Aboriginal and Torres Strait Islander people aged 15\u201354 years. The new item has been applauded as a major policy innovation however this enthusiasm has been tempered with concern about potential barriers to its uptake. In this study we aim to determine whether there are disparities in uptake of HA items for Aboriginal and Torres Strait Islander people compared to other Australians.The analysis was based on Health Insurance Commission data. Indigenous status was ascertained based on the item number used. Logistic regression was used to compare uptake of HA items for older people among Aboriginal and Torres Strait Islander people compared to other Australians. Adjustments were made for dual eligibility. Uptake of the HA items for older people was compared to the uptake of the new item for Aboriginal and Torres Strait Islander people aged 15\u201344 years.Our analyses suggest a significant and persistent disparity in the uptake of items for older patients among Aboriginal and Torres Strait Islander people compared to other Australians. A similar disparity appears to exist in the uptake of the new adult Aboriginal and Torres Strait Islander HA item.Further engagement of primary care providers and the community around the uptake of the new HA items may be required to ensure that the anticipated health benefits eventuate. The introduction of Medical Benefits Scheme (MBS) item numbers to reimburse health assessments (HAs) represented a major shift in support for access to health promotion and preventive care in primary care settings. The HA items provide reimbursement for doctors to evaluate patient's physical, psychological and social function in order to optimise health care and education. HA items were first introduced for older patients in 1999. [The uptake of the HA items and other items introduced as part of the Enhanced Primary Care (EPC) program from 1999\u20132001 has been rigorously evaluated. HA items had the highest uptake of the Enhanced Primary Care items with around 18% of the eligible population using them. No inforIn May 2004, a new item item 710) was introduced for HAs among adult Aboriginal and Torres Strait Islander people aged 15\u201354 years. ,9 Adult was intrIn this study we aim to establish whether there are likely to be barriers to the uptake of the new HA item by comparing the uptake of the HA items for older people among Aboriginal and Torres Strait Islander people and the rest of the community. We also examine differences in uptake over time and differences between States and Territories. Finally we compare uptake of the HA items for older people to the uptake of the new items for Aboriginal and Torres Strait Islander people aged 15\u201344 years in the first three quarters after their introduction. It would be expected that structural barriers to the introduction of HAs should have decreased over since 1999 because of the introduction of the HA items. Accordingly it might be expected that the uptake of the new item might be more rapid than the uptake of the items for older Australians.Data on the use of item numbers by year and by State and Territory were obtained from the Health Insurance Commission statistical reports. Data on Data on the use of item numbers in the first three quarters of their introduction was also obtained from the Health Insurance Commission statistical reports. These daIn addition to the other eligibility requirements, only one claim could be made per person in a 12 month period. Accordingly quarterly and annual data reports should only contain one observation per person. Data are available for smaller geographic areas than State and Territory, such as general practice divisions, however low numbers and a high level of suppressed data made small area analysis problematic.Population estimates for the Aboriginal and Torres Strait Islander population aged at least 55 years and aged 15\u201344 years by State and Territory were obtained for the Australian Bureau of Statistics (ABS) projections from the 2001 census for the years 2001 to 2004. PopulatiA logistic regression was conducted to analyse differences in the uptake of consulting room and non-consulting room HA items according to Indigenous status and year taking into account variation due to State and Territory. Consulting room and non-consulting room items were analysed separately because there is geographic variation in their use which may be potential source of confounding. The dependent variable was coded dichotomously using service use data to estimate the number of people who used the service and population data to estimate the number of people who did not. Year was coded to enable linear trends in uptake to be tested. Indigenous status was coded dichotomously based on whether the items were only available to Aboriginal and Torres Strait Islander people or available to all Australians.The 12.2% of Aboriginal and Torres Strait Islander people aged at least 75 years would be eligible for the general population items as well as the Aboriginal and Torres Strait Islander specific items. All analyses were conducted twice to explore whether dual eligibility could have an impact on the results. The first set of analyses was based on observed service use. Service use among Aboriginal and Torres Strait Islander people would be underestimated in these analyses if people with dual eligibility were using general population items. The data were also analysed assuming that Aboriginal and Torres Strait Islander people aged at least 75 years accessed HAs through general population items at the same rate as the rest of community. These instances of service use were then attributed to Aboriginal and Torres Strait Islander people rather than to other Australians. Service use among Aboriginal and Torres Strait Islander people would be overestimated in these analyses because some of the people using the Aboriginal and Torres Strait Islander items are likely to be aged at least 75 years and therefore would be counted twice. Some overestimation would also be expected to occur because the observed rate of service use among Aboriginal and Torres Strait Islander people aged over 75 years is likely to be less than that for the general population.Differences in rates of consulting room and non-consulting room service use for Aboriginal and Torres Strait Islander people and the rest of the community were calculated for each State and Territory.A logistic regression was conducted to compare the uptake of older all Australian (700), older Aboriginal and Torres Strait Islander (704) and adult Aboriginal and Torres Strait Islander people (710) HA items. The HA item for adult Aboriginal and Torres Strait Islander people (710) was used as the reference category for comparisons. Quarter was coded to enable linear and quadratic trends in uptake to be tested. The dependent variable was coded dichotomously using service use data to estimate the number of people who used the service and population data to estimate the number of people who did not.The result of the logistic regression for use of consulting room HA items was lower than for the uptake of the general population item (700) but was higher than uptake of the item for older Aboriginal and Torres Strait Islander people declare that they have no competing interests.Margaret Kelaher conceptualised the paper and conducted the analysis. David Dunt, Ian Anderson and David Thomas collaborated in drafting the paper."}
+{"text": "Three hundred and sixty-nine patients in an MRC study of combination chemotherapy and radiotherapy for small-cell lung cancer of limited extent were asked to complete a Daily Diary Card which enabled an assessment of their quality of life to be made during and after treatment. The information derived from the card suggests that although cytotoxic chemotherapy has an adverse effect upon quality of life, this impairment only affects the first 2 or 3 days following each course of treatment, although there is also a small deterioration which may be associated with the 'nadir' effect of the blood counts about 10 days after each course. These results should assist physicians in counselling patients about the likely effects of treatment. Just over half of the patients (196) were subsequently randomised to either a further six courses of maintenance chemotherapy or no further chemotherapy, and it is also shown that the patients allocated to no maintenance chemotherapy experienced a gradually deteriorating quality of life, as opposed to the brief but more severe adverse effects which occurred following each course in the maintenance chemotherapy group; this supports the hypothesis of a palliative effect in this latter group. The findings demonstrate that the Daily Diary Card is a sensitive instrument capable of yielding useful information."}
+{"text": "Although the need for a method of measuring the quality of life of patients undergoing therapy for cancer has been widely recognised, no adequately evaluated or feasible method has been established. We describe a method in which 31 items were assessed by patient self report using linear analogue scales. Eighteen items inquiring about general health problems were derived from the Sickness Impact Profile, an established method of assessing the effect of health upon behaviour and function. Thirteen items inquiring about major problems associated with breast cancer were derived from clinical experience and the opinions of patients with this disease. Each item of the measurement method (instrument) has been evaluated for content, feasibility, reliability and validity by methods that are widely used in psychometry but less familiar in medicine. It appeared easy to use, acceptable and reliable in these assessment. Validity was evaluated indirectly since no standard measurements of quality of life exist for comparison. Most items appeared valid when compared to alternative measurement methods including the Sickness Impact Profile and evaluation by a physician in a structured interview. The correlations between items in the instrument were analysed by factor analysis and seemed to fit with the clinical features of breast cancer. The method distinguished between clinically distinct groups of patients and detected changes with time. The study illustrates the possible approaches to the scientific evaluation of methods for measuring subjective features of patients lives. This method appears suitable for some purposes to measure quality of life in breast cancer and is intended to be flexible enough to be modified for other diseases. However, further evaluation, development and refinement will be needed before routine clinical application can be recommended."}
+{"text": "In vivo nuclear magnetic resonance 31P spectroscopy was used to demonstrate different patterns of high energy phosphate metabolism in a group of malignant tumours of glial origin. In some of the more malignant tumours a decrease in adenylate energy charge was found. This was associated with a decline in phosphocreatine and an increase in sugar phosphate and inorganic phosphorus."}
+{"text": "A seasonal variation in the month of initial detection of breast cancer has been previously observed in pre-menopausal women, and it has been proposed that this may be due to cyclic changes in tumour growth mediated by the effects of melatonin on ovarian function. To investigate this possibility serum melatonin concentrations have been measured every 2 h for 24 h at the summer and winter solstice in 20 pre-menopausal women with previous breast cancer and nine controls. Twelve women had detected their tumour in winter and eight in summer. Overall melatonin secretion assessed by either amplitude of the nocturnal melatonin pulse or the area under the 24 h melatonin curve (AUC) was not different between breast cancer women or controls. However, the amplitude and AUC fell in winter in breast cancer patients , whereas the winter minus summer values were significantly positive in controls compared with cancer patients. The abnormal fall in winter values in the women with previous breast cancer was confined to the group of women who had been winter detectors whereas there was no significant seasonal alteration in these measurements in summer detectors. The acrophase of the nocturnal pulse of serum melatonin was significantly advanced in both groups of women with previous breast cancer with a similar although nonsignificant trend in control women. The abnormal reduction of serum melatonin seen in wintertime in winter detectors of breast cancer could promote tumour growth at this season and so contribute to the decreased survival previously observed in this group compared with summer detectors. The relatively normal seasonal profile of melatonin observed in summer detectors could allow increased ovarian steroidogenesis in spring/summer with a resulting increase in tumour growth and consequent rise in tumour detection rate at this time."}
+{"text": "To our surprise we also found that acute perfusion of low concentrations of lead onto brain slices from control animals resulted in reduction of long-term potentiation, suggesting that the effect is more pharmacologic than developmental. The results of In their article about blood lead and IQ in older children,"}
+{"text": "We examined the ability of primary human tumour cells to secrete diffusible factors capable of stimulating anchorage independent growth of normal rat kidney fibroblast (NRK) cells. Conditioned media (CM) prepared from cells derived from 31/43 patients with adenocarcinoma of the breast, colon, ovary or lung were found to induce growth of NRK cells in soft agar. The ability of the CM to induce anchorage independent growth was enhanced in 25/35 cases by the presence of epidermal growth factor (EGF). The CM did not compete with EGF for binding to the EGF receptor site. CM from cells derived from nonmalignant effusions also supported the growth of NRK cells in soft agar. There was no significant difference in the ability of the CM derived from malignant or normal cells to support NRK colony growth. The ability of primary human tumour cells to clone in soft agar was compared to the ability of these cells to produce diffusible colony stimulating factors for NRK cells. No correlation was observed between the ability of the primary human tumour cells to clone in soft agar and their ability to induce anchorage independent growth of NRK cells. The secretion of substances with TGF like activity may be a property of many types of primary human cells."}
+{"text": "Disabling fatigue is the main illness related reason for prolonged absence from school. Although there are accepted criteria for diagnosing chronic fatigue in adults, it remains uncertain as to how best to define disabling fatigue and Chronic Fatigue Syndrome (CFS) in children and adolescents. In this population-based study, the aim was to identify children who had experienced an episode of disabling fatigue and examine the clinical and demographic differences between those individuals who fulfilled a narrow definition of disabling fatigue and those who fulfilled broader definitions of disabling fatigue.Participants (aged 8\u201317 years) were identified from a population-based twin register. Parent report was used to identify children who had ever experienced a period of disabling fatigue. Standardised telephone interviews were then conducted with the parents of these affected children. Data on clinical and demographic characteristics, including age of onset, gender, days per week affected, hours per day spent resting, absence from school, comorbidity with depression and a global measure of impairment due to the fatigue, were examined. A narrow definition was defined as a minimum of 6 months disabling fatigue plus at least 4 associated symptoms, which is comparable to the operational criteria for CFS in adults. Broader definitions included those with at least 3 months of disabling fatigue and 4 or more of the associated symptoms and those with simply a minimum of 3 months of disabling fatigue. Groups were mutually exclusive.Questionnaires were returned by 1468 families (65% response rate) and telephone interviews were completed on 99 of the 129 participants (77%) who had experienced fatigue. There were no significant differences in demographic and clinical characteristics or levels of impairment between those who fulfilled the narrower definition and those who fulfilled the broader definitions. The only exception was the reported number of days per week that the child was affected by the fatigue. All groups demonstrated evidence of substantial impairment associated with the fatigue.Children and adolescents who do not fulfil the current narrow definition of CFS but do suffer from disabling fatigue show comparable and substantial impairment. In primary care settings, a broader definition of disabling fatigue would improve the identification of impaired children and adolescents who require support. Disabling fatigue in children and adolescents is an important clinical problem given that it is associated with severe functional impairment that has an impact upon the child's education and social development ,2. It isThere have been several attempts to define disabling fatigue as a disorder in adults and perhaps the most accepted is the Center for Disease Control (CDC) definition . This reA number of authors have raised the concern that the current criteria for CFS were designed for use in adults and that there has been relatively little work in assessing how appropriate these criteria are for children and adolescents -14. AlthThe importance that these associated symptoms play in CFS and whether they contribute to defining a homogenous group of individuals with disabling fatigue has been increasingly questioned . As the Given the current discussion about the role of the associated symptoms in CFS in adults, the lack of empirical testing about the appropriateness of the adult CFS criteria in children it seems pertinent to examine whether the clinical and demographic features of children and adolescents differ in those who fulfil CFS criteria and those who fulfil broader criteria for disabling fatigue. Evidence that those individuals with \"adult like CFS\" did differ significantly would give credence to the idea that adult CFS criteria do identify a specific group of fatigued individuals.There is also evidence to suggest that the majority (two thirds) of adults who attend GP clinics regarding disabling fatigue lasting more then 6 months do not fulfil the CDC definition of CFS, but do have substantial associated impairment . Given tIn this paper, we set out to identify children and adolescents with a lifetime ever episode of disabling fatigue in a population-based sample and test whether those who fulfilled a narrow definition were more severely impaired and different in terms of clinical and demographic characteristics than those who only fulfilled broader definitions of chronic disabling fatigue. Specifically, three groups of individuals with disabling fatigue were defined; those who had a similar symptom profile, duration and impairment as the CDC operational criteria for CFS in adults (\"adult like CFS\"), those who also had a similar symptom profile and impairment but whose fatigue, at time of interview, had lasted for a period of between 3\u20136 months disabling fatigue (\"child like CFS\") and those that did not fulfil the symptom profile for operationally defined CFS but who had had more than 3 months disabling fatigue (\"3 months plus disabling fatigue\").Cardiff Study of All Wales and North West England Twins). Previous studies have shown that the register is representative of the local population [Participants were identified from the population based twin register CaStANET . The duration of the fatigue at the time of interview was used to classify the twins into the different categories regardless of whether the fatigue was currently ongoing. The nature and degree of impairment associated with the fatigue was assessed by enquiring about whether the twin needed to rest for at least 1 hour daily, and whether there was interference with school attendance, and/or usual leisure activities and with family and peer relationships. To be classed as suffering from \"disabling fatigue\" the twin was required to need to rest for at least 1 hr daily and for there to be a report of some interference in at least one of these areas.Individuals who did not fulfil the associated symptom requirement but had experienced a period of disabling fatigue of greater than 3 months at the time of interview were classed as suffering from \"three months plus disabling fatigue\". Those who did fulfil the associated symptom requirement but had only experienced a period of between 3\u20136 months of the disabling fatigue at the time of interview were classed as suffering from \"child like CFS\" and those who has experienced a period of more than 6 months disabling fatigue were classed as suffering from \"adult like CFS\"Information was also sought about the age of onset of the fatigue, the number of days per week affected by the fatigue, the number of hours per day that the affected child required to rest/sleep, whether the child or adolescent was absent from school due to the fatigue, and whether they were taken to visit a General Practioner with regard to the fatigue. A global measure of impairment was created by asking whether the fatigue had interfered with the following 4 areas; i) the child's schoolwork, ii) peer relations, iii) family relations and iv) their usual leisure pursuits. The possible response's to these questions were on a discrete adjective scale consisting of \"Not much\", \"A little\" or \"A lot\" and were scored as 0, 1, or 2 respectively. The answers to these questions were then summed to give the overall score which ranged from 0 to 8.Parents were asked whether any diagnoses or explanation for the disabling fatigue had been offered by GP's or hospital specialists, when these had been visited. Their responses were recorded verbatim. This information was then reviewed by one of the authors (PD) who was blind to other information from the data collection and who determined those cases where the diagnosis could entirely explain the chronic fatigue in the twin. These cases were then excluded from further analysis.The second part of the interview consisted of the depression section of the parent version Child and Adolescent Psychiatric Assessment (CAPA) . This isAs it was determined that the most important analysis to undertake was to assess whether those individuals who fulfilled just the broad definitions of disabling fatigue (\"child like CFS\" and \"3 months plus disabling fatigue\") differed from those who fulfilled the narrow definition (\"adult like CFS\") and to reduce multiple testing no comparisons were made between individual classed as suffering from \"child like CFS\" and those who had \"3 months plus disabling fatigue\". Two sets of comparisons were therefore made, the first between those individuals who had \"adult like CFS\" and those who had \"child like CFS\", the second between those individuals who had \"adult like CFS\" and \"3 months plus disabling fatigue\". Independent t-tests and chi-square tests were used as appropriate.However, although the twin register is population based, each twin pair could potentially contributes two observations, and where this is the case the individual twin cannot be classed as statistically independent. Reduced variance due to the correlation between twins' scores can cause high false positive rates . To adjuParents from 1468 families returned questionnaires (65% response rate). There were no significant socio-demographic differences between the responding and non-responding families . The scrTwins classed as suffering from \"3 months plus disabling fatigue\" had an average duration of fatigue of 25.8 months of which 27% still had ongoing fatigue at the time of interview. Twins classed as suffering from \"adult like CFS\" had an average duration of 23.5 months of fatigue (SEM 6.1) with 41% with ongoing fatigue at the time of interview. Those classed as suffering \"child like CFS\" had by definition between 3\u20136 months disabling fatigue, of which 27% had ongoing fatigue at the time of interview. Table The results of the statistical analysis suggested no significant difference (P > 0.1) between the groups. The only exception to this was the number of days that the child was affected during the episode of fatigue, for which there is a significant difference between individuals who were classed as suffering from \"adult like CFS\" and those classed as suffering from \"child like CFS\" . These analyses were repeated using non-parametric tests, however there was no difference in results.The descriptive statistics suggested that there was greater variability in individuals classed as suffering from \"3 months plus disabling fatigue\" than in individuals in the other two groups, particularly for the age of onset and number days per term absent from school. Less individuals from this group had visited a GP with regard to the fatigue. Although no significant differences or trends were found between individuals classed as suffering from \"3 months plus disabling fatigue\" and those classed as suffering from \"adult like CFS\" for these 3 variables, because of the descriptive statistics, a post hoc set of analyses was also conducted. For the post hoc analyses individuals classed as suffering from \"adult like CFS\" and \"child like CFS\" were combined into one group and compared to those classed as suffering from \"3 months plus disabling fatigue\". However no significant differences were found between these groups for age of onset, number of days absent from school per term or visits to the GP. As in the previous statistical analyses, these tests were also repeated using non-parametric tests however there was no difference in the pattern of results.The results indicate that the clinical and demographic characteristics and level of impairment of children with narrowly defined disabling fatigue and more broadly defined fatigue are similar. There was no significant difference in gender ratio, the average age of onset or the rate of comorbidity with depression between the groups. Likewise affected young people seemed to spend a similar number of hours resting and/or sleeping, there was parental report of similar levels of global impairment, they were absent for a similar number of days from school during the term in which they were most affected by the fatigue and a similar percentage of individuals were contacting their GP about the fatigue.A lack of significant findings cannot necessarily be interpreted as meaning there is no differences between these groups but there are still a number of implications of these results. Specifically, the results suggest that a longer duration of fatigue and accompanying symptoms are not necessary in defining disabling, impairing fatigue in children and adolescents. Children who present with shorter histories of fatigue and/or in the absence of CFS associated symptoms have high levels of parent reported impairment, both in terms of family and peer relationships and school work. They also appear to be absent for a substantial number of days from school and it causes enough worry for the parents to take the majority of these children and adolescents to a GP. Even though their was a significant difference for the number of days affected by the disabling fatigue between those individuals classed as suffering from \"adult like CFS\" and \"child like CFS\", all groups reported that they were affected by the disabling fatigue for most days of the week.The descriptive statistics also suggested the possibility that individuals within the \"three months plus disabling fatigue group\" may be more heterogeneous, given that there is a relatively large amount of variance in this group in comparison to the other groups. Although this may have nosological implications it does not negate the high level of impairment this group also appears to be experiencing.One important limitation of this study is that the individual's symptoms were identified by telephone interview rather than medical examination. Although every effort was made to exclude individuals who may have had an alternative diagnosis that would explain the fatigue this does not guarantee that if an in depth medical assessment were undertaken with these individuals that a number would not be classed as fulfilling the CDC definition of CFS. This may in some way explain why over half individuals in this population based sample showed a similar symptom profile to the CDC criteria for CFS whereas in the adult population only one third were categorised as fulfilling this criteria , althougA further possible limitation is that parent report of disabling fatigue was used to identify individuals for further data collection and the analysis is based on information from parental interview only. There are often low levels of agreement between parent and child/adolescent report of behavioural/psychiatric symptoms and therThese findings have clinical significance in that they imply episodes of fatigue in children and adolescents which last at least 3 months warrant investigation regardless of whether or not a diagnosis of CFS can be made. This is because the degree of impairment is substantial in terms of interference with usual activities, family and peer relationships, school absence and school work, and the impairment does not appear to differ from the level of impairment found in more narrowly defined disabling fatigue.There was no indication that the group of children with shorter periods of fatigue differed on a number of associated characteristics or in terms of impairment from the group of children who had a symptom profile similar to the CDC criteria for CFS. Although this does not prove that there is no differences between individuals in these groups it does indicate that within a primary care setting it may be appropriate to consider a broader definition of disabling fatigue in children for clinical and research purposes.The author(s) declare that they have no competing interests.TF interviewed the families, performed the statistical analysis and drafted the manuscript. PM provided clinical advice when conducting the analysis and helped drafted the manuscript. AT participated in the design and coordination of the study. AF conceived of the study, and participated in its design and coordination.The pre-publication history for this paper can be accessed here:"}
+{"text": "Epidemiological and environmental surveys in the Cappadocian region of Turkey have linked the high incidence of pleural and peritoneal mesothelioma in the occupants of some villages with the zeolite fibres released from the locally occurring volcanic tuff. In view of the low ambient fibre concentrations and the extraordinary incidence of mesothelioma a study to test the hypothesis of high biological activity for the zeolite fibres was required. Experimental studies using both intrapleural inoculation and inhalation techniques have been undertaken with the erionite from this region and from Oregon in the United States. Additionally a non-fibrous zeolite from Japan and a synthetic non-fibrous zeolite of similar chemical composition to erionite have been included in the experiments. In these studies the samples from Oregon and Turkey produced a very high incidence of tumours. All the rats inoculated intrapleurally with Oregon erionite and almost all those inoculated with the Turkish fibre died with a mesothelioma. Inhalation of the Oregon erionite induced a similar effect. No other dusts we have investigated have produced this high incidence of tumours particularly following inhalation. These studies demonstrate that we now have a valuable new fibre for experimental study and a possible hazard to man in regions other then Turkey."}
+{"text": "The psychometric properties of a method of measuring the quality of life of cancer patients based on multiple linear analogue scales have been assessed in a group of 294 patients with breast cancer attending one clinical unit. The method was found to be readily managed by patients although a small number of scales presented difficulties of understanding to patients and difficulties of analysis. The scales distinguished readily between patients of different disease and treatment status. Factor analysis revealed a 5 factor structure which we interpret as relating to physical activities of everyday living, emotional disturbance, alimentary disturbances, appearance and cosmetic problems and a fifth factor which is more difficult to interpret and includes impairment of speech, writing and concentration. We feel the essential factors determining quality of life in cancer patients have been demonstrated in this and our earlier studies and there is now a substantial level of agreement in the factors that have been identified by groups taking quite different approaches. The major factors determining quality of life in cancer patients are now known and should be assessed in clinical research and clinical trials. The method by which they should be assessed is not as yet so clear."}
+{"text": "Molecular monitoring by the polymerase chain reaction was used to detect and follow minimal disease in working formulation category B and C on non-Hodgkin's lymphoma. Rearrangement of the bcl-2 gene served as the target for gene amplification. Thirty patients were studied. Bone marrow histology was compared to PCR analysis of bone marrow aspirate and blood. PCR upstaged disease status in approximately 50% of patients. Results are shown from a patient whose disease was followed with PCR during chemotherapy from initial remission to relapse. We conclude that PCR of bone marrow and blood can be used to upstage disease status in low grade lymphoma and PCR of blood may be used to monitor response to treatment with obvious patient benefit. The general approach of molecular monitoring provides a means for appraising therapies in the setting of subclinical disease."}
+{"text": "We evaluated a new ultrasound microhandpiece (Dissectron PenstyleWe used under magnifying lenses the ultrasound microhandpiece to decalcify 30 explanted aortic valves. In the cases with embedded calcifications the thin top of the probe could be introduced into the thickness of the leaflet preserving covering layers.The leaflets were totally decalcified and flexible, and surrounding structures were preserved as assessed by histological examination.This new approach of ultrasonic aortic valve decalcification gives good in vitro results which allow to consider a clinical evaluation of this procedure. This probe is more handy and more precise than the previous ones. Therefore the reintroduction of valve decalcification by ultrasound is envisageable.The aortic valve debridement by ultrasound in degenerative-calcific aortic stenosis appeared to be an alternative treatment for severe calcified aortic stenosis , but was\u00ae Penstyle used in neuro and general surgery but never used in cardiac surgery. This ultrasonic system consists of a control console with a handheld aspirator that contains a magnetostrictive transducer which converts electrical energy into mechanical motion (piezoelectric technology). The handpiece to perform the process and the operating surgeon determined the adequacy of decalcification by inspection and palpation of the leaflets. A preliminary study on 10 other valves had allowed us to familiarise with the device and to adjust the settings. The completeness of the leaflet decalcification was studied by palpation and by histopathological examination with the help of a nonparametric grading system (from 1+ to 4+).We used ultrasonic energy to decalcify 30 aortic human tricuspid valves after they had been surgically removed during an aortic valve replacement. The valves had not been selected and were severely calcified in accordance with the necessity of the valve replacement. Ultrasonic decalcification was performed with the Dissectrone Figure has a ho\u00ae handpiece was very ergonomic. The calcium was disintegrated in about 15 minutes in all the 30 cases. At the end of the process all the leaflets were observed as flexible again by palpation assessment. In 26 cases leaflets were totally decalcified (4+) we performed the decalcification by introducing the probe through the aortic surface and directing it inside the thickness of the valve in contact with the calcification declare that they have no competing interests.SA did all the research and wrote the paper.EV had been involved in the research.LC had been involved in the anatomopathology examination.FF had been involved in the analysis of the data.OJ had been involved in the final approval of the version to be published."}
+{"text": "The effect of adriamycin on human and mouse CFUGM was examined at concentrations and times suggested by plasma clearance data derived from the results of a number of published studies. Our results suggest that the high concentrations of drug present in the plasma for short periods of time following infusion are only weakly cytotoxic towards the CFUGM when incubated for similar times. In contrast, there was a considerably greater cytotoxic effect when the drug was examined at low concentrations for periods similar to those described for the terminal phase of adriamycin clearance. The principal metabolite, adriamycinol, was poorly cytotoxic."}
+{"text": "We have assessed the effects of clodronate in 17 episodes of hypercalcaemia and osteolysis due to carcinoma. Clodronate reduced serum calcium in 14 episodes and bone resorption in all patients. These remained suppressed for the duration of treatment, but recurred promptly when treatment was stopped. Clodronate may be a useful measure for controlling hypercalcaemia and osteolysis in patients with carcinoma."}
+{"text": "With increased emphasis being placed on the importance of environmental health comes the need for an expanded variety of environmental health care practitioners. Nursing is one of several professions that are augmenting and advancing the capabilities of their practitioners to meet this need. Now the Community Outreach and Education Program (COEP) of the University of New Mexico\u2019s Center for Environmental Health Sciences has partnered with the New Mexico Environment Department to create an environmental health nursing internship as a component of its outreach program.In cooperation with the university College of Nursing, the partners recruit nursing students who are interested in implementing environmental health care initiatives in the surrounding community. For four years, the program has taken nursing students beyond the traditional curriculum and shown them firsthand how interaction with environmental factors affects human health. The program also gives students valuable experience in taking measures to abate hazardous exposures in communities.The interns are currently working on a number of projects that will affect different community members. They are helping to develop surveys and compiling data for a project investigating uranium exposure and subsequent kidney damage among the Navajo Nation, whose members live near and work in uranium mines. They are gathering and assembling materials for a community education and survey project on mercury in surface waters and other environmental health concerns among the Cheyenne River Sioux Tribe. They are helping COEP staff write and field-test an integrated environmental health curriculum on diabetes for middle school students. And in a fourth project, they are helping to develop a best-practices manual for applying farm waste fertilizer to croplands in a way that minimizes human exposure to aerosolized waste.The local ties of some of the nursing interns have enhanced the program\u2019s role as an effective community advocate. Intern Krystyn Yepa is a Native American from the Pueblo of Jemez who became interested in environmental health nursing because she wanted to understand some of the health effects in her tribe resulting from exposure to different pollutants in the environment. \u201cLearning about the different environmental health problems that exist in New Mexico has given me the willpower to finish nursing school to ultimately achieve my goal of improving the health and lifestyles of my people by placing importance on the environment,\u201d she says.Yepa explains further, \u201cAs a Native American, I was raised to respect and appreciate the environment, and working at the COEP has only strengthened my values related to the environment.\u201d She also credits the internship with teaching her important assessment tools that lay emphasis on the environment when completing a health history on patients, something a traditional nursing internship would not likely provide.\u201cThe nursing interns have been an incredible asset to our COEP,\u201d says staff member Stefani Hines. \u201cIt is a mutually beneficial situation on many levels\u2014the student nurses gather valuable real-world experiences in environmental health; the nursing school has access to additional, unique placements for their students; we have additional support for projects, which helps make them better; and the communities we work with benefit from the students\u2019 efforts as well.\u201dDedicated, enthusiastic environmental health nursing interns will only continue to play an important role in advancing the COEP mission. One project currently in development will help community members get involved in city and county zoning processes, which will both encourage a healthy community mindset and minimize exposures to pollutants."}
+{"text": "Rat mammary tumour cells were grafted to parietal bones as an experimental model to study the nature of bone resorption around metastatic carcinomas in the skeleton. After periods of growth of from 6 to 56 days bones and tumours were removed and embedded in epoxy resin. The appearances were compared with those found when whole parathyroid glands were grafted in similar positions. Tumours were evident in all animals at the time of death and some were palpable five days after grafting. In 15 of the 21 animals with tumour, osteoclasts and resorption were found, and in only two of these were the tumour cells not separated from the bone surfaces. In 6 animals killed between 6 and 12 days after grafting there was new bone formation without resorption. There were osteoclasts and resorption under the grafted parathyroid glands which were always separated from the resorbing cells by fibrous tissue. The appearances of the bone surfaces under the tumours and the parathyroid glands suggested that the resorption in both situations was similar, was brought about by the secretion of a locally active agent and mediated by osteoclasts. This is further support for the role of osteoclasts in bone resorption around metastatic carcinomas."}
+{"text": "The outcome of treatment by age and socio-economic status was examined for 1,588 women with invasive cancer of cervix resident in the West of Scotland and diagnosed between 1980 and 1987. There was no difference in prognosis according to either variable once analysis was controlled for stage at presentation, treatment type and tumour grade. Tumour histology, date of treatment and health board of residence had no significant effect on survival independent of other variables. A strong correlation was found between socio-economic status and the incidence of cervical cancer in the West of Scotland. Women aged 45 and over and living in deprived areas were more likely to present with later stage tumours and to survive less well than younger patients from the more affluent parts of the region. Any additional resources which may be made available for cervical cancer screening should be directed more effectively towards those most at risk."}
+{"text": "Mothers of a population-based series of young adults with bone and soft tissue sarcoma were traced and their cancer risks estimated. No overall excess of cancers compared with expected numbers calculated from population rates was seen but mothers of patients with synovial sarcoma had significantly more cancers than expected and this was accounted for mainly by an excess of breast cancer. In addition there were strong indications that a proportion of cases were members of families with inherited cancer-prone syndromes, in particular with neurofibromatosis or with the Li Fraumeni cancer family syndrome."}
+{"text": "The hepatic perfusion index, the ratio of hepatic arterial to total liver blood flow, was measured in 50 consecutive patients with colorectal cancer using radiolabelled colloid with high administered activity. In patients with proven liver metastases the diagnostic sensitivity of the HPI was 96% and the predictive value of a negative test was 92%. Dynamic hepatic scintigraphy is of value in the management of patients with colorectal cancer."}
+{"text": "In the economic evaluation section of the protocol , we statA further issue is that the Office of Scottish Health Statistics does not provide cost estimates for different types of delivery. Although costs in Scotland have been estimated using data collected in the early 1990s , we consThe pre-publication history for this paper can be accessed here:"}
+{"text": "Ninety-two consecutive adult patients admitted with acute life-threatening complications of haematological malignancy were studied to determine long term outcome. The quality of life was evaluated in seven long term survivors who are currently alive more than 1 year after hospital discharge using three validated methods: the Nottingham Health Profile, the Hospital Anxiety and Depression Scale and the Perceived Quality of Life Scale. Patients were also asked whether they had returned to work, whether their daily activities were limited and whether they would be willing to undergo intensive care again under the same circumstances. The in-hospital mortality rate was 77%. Median duration of long term survival was 23 months (range 6 weeks to 8 years). Long term survival did not appear to be related to either the aetiology or the severity of the acute illness, but seemed to be determined solely by the nature and progress of the underlying malignancy. The quality of life of six of the seven long term survivors is good, while that of the other is acceptable. None of the patients reported any increased limitation of their daily activities, five had returned to full time employment and all seven stated that they would be willing to undergo intensive care again under the same circumstances."}
+{"text": "The inhibition of 3H-thymidine incorporation into the DNA of mitogen-stimulated lymphocytes from patients with chronic lymphocytic leukaemia by chlorambucil was measured in vitro and the results related to clinical drug resistance. The assay proved to be both sensitive and specific showing a clear separation of those patients with responsive disease from those with disease resistant to treatment. There was evidence of primary drug resistance in untreated patients. In almost all patients who received treatment this led to increasing resistance to chlorambucil in vitro. The assay is predictive of clinical responsiveness and provides a potential means whereby new therapeutic agents and treatment modifiers may be investigated."}
+{"text": "Since the publication of our article on counterfeit artesunate in June 2006 , furtherIn addition, we would like to bring readers' attention to the newspaper reports of counterfeit artesunate and dihydroartemisinin seized from ladies' handbags at Lagos airport ."}
+{"text": "Improving the quality of health care requires a range of evidence-based activities. Audit and feedback is commonly used as a quality improvement tool in the UK National Health Service [NHS]. We set out to assess whether current guidance and systematic review evidence can sufficiently inform practical decisions about how to use audit and feedback to improve quality of care.We selected an important chronic disease encountered in primary care: diabetes mellitus. We identified recommendations from National Institute for Clinical Excellence (NICE) guidance on conducting audit and generated questions which would be relevant to any attempt to operationalise audit and feedback in a healthcare service setting. We explored the extent to which a systematic review of audit and feedback could provide practical guidance about whether audit and feedback should be used to improve quality of diabetes care and, if so, how audit and feedback could be optimised.National guidance suggests the importance of securing the right organisational conditions and processes. Review evidence suggests that audit and feedback can be effective in changing healthcare professional practice. However, the available evidence says relatively little about the detail of how to use audit and feedback most efficiently.Audit and feedback will continue to be an unreliable approach to quality improvement until we learn how and when it works best. Conceptualising audit and feedback within a theoretical framework offers a way forward. A range of strategies exist to promote the uptake of clinical research findings into the routine care of patients. They seek to change the behaviour of healthcare professionals and thereby improve the quality of patient care Table . For eacAll healthcare systems are concerned with improving the quality of care that they deliver as demonstrated by their establishment of structures and high profile reports. Across cThe strategies in Table While rising prevalence and changing patterns of service delivery diabetes mellitus increasingly contributes to the primary care workload and therThe UK NHS has produced a framework and set of measurable criteria by which to judge the quality of care for patients with diabetes mellitus. The National Service Framework (NSF) for Diabetes was launched in 2002. It suggePrinciples for Best Practice in Clinical Audit [We informed the study with two definitions of audit and feedback Table . The sysal Audit which ofWe explored the extent to which a systematic review of audit and feedback could provide practical guidance about whether audit and feedback should be used to improve quality of diabetes care and, if so, how audit and feedback could be optimised. Based upon discussions with those responsible for conducting audit and feedback at a local level as well as our own experiences of doing so, we identified several questions which would be relevant to any attempt to operationalise audit and feedback in a healthcare service setting.\u2022 Does audit and feedback work for this condition and setting, specifically improving the care of patients with a chronic disease \u2013 diabetes mellitus \u2013 in primary care?\u2022 Does it work equally across all dimensions of care \u2013 from simple recording of cardiovascular risk factors to more complex areas of care such as glycaemic control? The latter requires a greater number of actions to achieve which include measuring blood glucose levels, reviewing the patient, checking compliance with drug and dietary therapies and checking patients' understanding of the condition.\u2022 How should it be prepared? Should data be comparative and if so, what should the comparator group be? Should data be anonymised?\u2022 How intensive should feedback be? Intuitively, providing more and personalised feedback on a recurrent and regular basis should have a greater impact on practice than a one-off report of (say) PCT-level aggregated data. However, it is uncertain whether the extra time and costs of ongoing data collection and preparing more frequent feedback would be matched by additional benefits.\u2022 How should it be delivered \u2013 by post or by a messenger in person? And if by a messenger who should this be? Professionals might be more convinced by a message delivered by a colleague with a recognised interest in diabetes care rather than a non-clinical facilitator.\u2022 What activities, if any, should accompany feedback? The likely costs and possible benefits of (say) educational meetings or outreach visits need to be weighed up against providing feedback via paper or computerised formats alone.\u2022 What should be done about the poorest performers detected by the audit? Targeting such practices may help close the gap between the poorest and best performers. Alternatively, spreading effort to improve quality more equally amongst all practices may improve average performance for the whole PCT.We identified a systematic review of audit and feedback that identified and appraised 85 randomised trial.[\u2022 audit and feedback can improve professional practice, although the effects are generally small to moderate\u2022 effectiveness varies substantially among different studies\u2022 variation may be related to different methods of providing feedback or contextual factors, such as targeted behaviours and professionalsThe review identified only five direct (head-to-head) comparisons of different methods of providing feedback Table . One comThe review also evaluated 14 direct comparisons of audit and feedback alone compared to audit and feedback combined with other interventions (multifaceted interventions). There was no evidence that multifaceted interventions worked better than audit and feedback alone. A multivariate analysis explored potential causes of heterogeneity in the results . Only low baseline compliance was associated with greater effect sizes for multifaceted interventions. There was no evidence of larger effects with increasing intensity of feedback.Fifteen studies relate to chronic disease management . Just over half of comparisons indicated that audit and feedback was more effective than doing nothing Table . Using mFour studies evaluated audit and feedback in diabetes care, three set in primary care. Two comparisons addressed one of our key questions (Does audit and feedback work for this condition and setting?) and showed that audit and feedback, with or without other interventions, was more effective than doing nothing.,13 A UK Two studies partially addressed three of our key questions about how to conduct audit and feedback . In US secondary care, there was no difference between continuing feedback against withdrawal of feedback in the accuracy of capillary blood glucose monitoring. An AustrThe review evidence was of limited use in informing the operationalisation of evidence based audit and feedback. A number of issues contributed to this \u2013 the heterogeneity of the studies in the overall review, the problems of interpreting sub-groups of studies within the larger review, and the lack of direct evidence (particularly from head-to-head comparisons) to answer key questions.It is unclear how to use the review to extract generalisable lessons about how audit and feedback achieves its effects. For example, individual level feedback could reasonably be assumed to be more personally relevant and persuasive and thus more effective than feedback at a group level; there are no such direct comparisons available. Four out of 10 studies using individual feedback for chronic disease management reported no effect whilst both studies using group feedback reported positive effects. Therefore group feedback might be more effective than individual feedback, possibly by promoting peer pressure, consensus and subsequent action. Unfortunately this must all remain conjecture given the paucity of data to test different hypotheses about the causal mechanisms that make audit and feedback work.a priori, reasons as to why these studies should be examined separately from others in the review.Based upon a limited number of comparisons, audit and feedback appears to work better for diabetes than for other conditions. It is unclear whether this is because there is something intrinsically different about diabetes (or the audit methods used in diabetes) compared to other conditions, or whether this is an unreliable sub-group analysis of four studies selected from the 85 available. It is hard to have confidence in the findings of the diabetes studies in the absence of good, preferably Similar pitfalls exist in judging the relative effectiveness of different feedback methods. This is mainly because of the limited number of head-to-head comparisons comparing audit and feedback alone against combined interventions or variations in providing feedback. Across all studies, audit and feedback alone appears similarly effective to multifaceted strategies. However, the lack of difference in effect size could have occurred because multifaceted strategies were used in situations where investigators judged them necessary to overcome greater obstacles to improving care. In the absence of primary studies, the review cannot address some of the key questions such as whether intensive feedback would improve more complex outcomes (gylcaemic control) at an acceptable cost.Mapped back onto the principles for good clinical audit, the evidence only supports doing audit if there is low baseline compliance Table . This evThe issues of external validity of randomised controlled trials have been aired in the context of clinical studies.,16. HoweA rational approach to this situation is to develop a conceptual framework within which to describe common elements of settings, individuals, targeted behaviours and interventions -20. ThisReview evidence was of limited use in informing the operationalisation of evidence based audit and feedback. This is mainly because of the heterogeneity of the studies in the overall review, the problems of interpreting sub-groups of studies within the larger review, and the lack of head-to-head comparisons to answer key questions. Audit and feedback will continue to be an unreliable approach to quality improvement until we learn how and when it works best. Conceptualising audit and feedback within a theoretical framework offers a way forward.UK NHS United Kingdom National Health ServiceNSF National Service FrameworkGP General PractitionerNICE National Institute for Clinical ExcellenceHbA1c Glycosylated haemoglobinPCT Primary Care TrustThe author(s) declare that they have no competing interests.Principles for Best Practice in Clinical Audit. ME suggested the idea for this paper. RF wrote the first draft and is guarantor. All other authors helped draft the manuscript and have approved the final manuscript.GJ and JY undertook the Cochrane Review of audit and feedback. RB co-authored The pre-publication history for this paper can be accessed here:"}
+{"text": "This data article along with original article provide the basic data required for ideal characterization of BCP and other bioceramics in an attempt to provide basic standardized protocols for future studies.The data presented in this article are related to the research article entitled \u201cBiphasic calcium phosphates bioceramics (HA/TCP): Concept, physicochemical properties and the impact of standardization of study protocols in biomaterials research\u201d Specifications TableValue of the data:\u2022To provide basic standard data for proper characterization of BCP and other bone substitutes.\u2022To encourage researchers to standardize their study protocols.\u2022To help in reducing the discrepancies among the findings of future studies.1This paper presents the required data and examples on proper characterization of BCP. This can be applied to other similar materials in the field of bone tissue engineering 2An electronic data base search on PubMed was performed to recruit related literature on BCP including data on basic biomaterials science, synthesis and characterization. Interested readers are referred to full text of this review paper for comprehensive review and recommendations"}
+{"text": "As a team of workforce analysts and academics with an interest in workforce planning, we are aware that the data available to support primary care workforce planning are disorganised and overwhelming. This makes it difficult for General Practice to extract meaningful and relevant information. We deliver workforce planning workshops across England. Participants at our workshops regularly express their frustration with the quantity of information they are required to produce and the quality of information they receive from other parts of the system. We are dismayed at what we sense to be growing cynicism with data generation and information analysis and are interested in stimulating a conversation about what data matter and how primary care teams can extract data that are useful.Bottom up ownership of information and local benchmarking is needed to underpin workforce planning in primary care.As with other parts of England, primary care in London faces considerable challenges in terms of recruiting and retaining staff. It is highly dependent upon locum, interim and agency staff. In London the challenge is less about recruitment of staff and more about retaining experienced, qualified staff. As well In 2015 Health Education England London teams (HEE) commissioned the University of West London to deliver training for CCG and practice staff. One element of this support was the development of CCG regional profiles so that the eight CCGs of North West London (NWL) and the 12 in North Central and East London (NCEL) could benchmark workforce performance against one another and against average performance in England. We used one of the largest English healthcare databases available, the NHS benchmarking database, for this exercise. The database (available from the corresponding author) combines 1400 workforce planning and development data sets from around 20 sources into one easily accessible location. Organisations, localities and regions can use the database to benchmark their performance against best practice organisations . This database has been used extensively in secondary care settings for over a decade. It clearly predicted one failing Trust\u2019s demise in 2008 (though results were ignored) and has consistently demonstrated the link between an investment in staffing and mortality rates.Is Primary Care service-quality related to staffing? How does my practice compare with \u2018best practice sites? The answers to these lie in Figure We used this to help London CCGs and GP practices to consider the questions: Is patient satisfaction the best differentiating variable?Is London so different that a national average becomes unhelpful?Figure Demonstrate many system relationships; for example the relationship between failing primary care services and ED admissions: - important evidence for a primary care community arguing for additional resources or different ways of working.Scrutinise and defend variation: The Carter report states tTake ownership of decision-making at a local level. Primary care staff attending our workshops report that much of the data they are sent is used not for service and systems improvement but rather for micro management of performance. We concur with the views of Nigel Edwards of the Nuffield Trust that plans \u2018to impose benchmarks from the top down risks turning into another round of the kneejerk centralisation that has served the NHS badly in recent years\u2019. Open resBetter use of openly available strategic datasets will enable primary care to:t.houston@nhs.netThe Workforce Transformation team at HEE are developing a free, user-friendly interface for the NHS Benchmarking database to enable healthcare providers across the capital to benchmark what matters most to them. The trial version of this interface is available from Tom Houston, Healthy London Partnership at This will be the first of a series of brief papers and in future editions we will identify where London staff really do provide \u2018best practice\u2019 care\u00a0\u2026\u00a0and where there is room for improvement.All three authors deliver commercial workforce planning education and training courses commissioned by HEE for primary care organisations working across West, North, Central and East London. Keith Hurst develops and maintains the NHS Benchmarking Database and this tool is used to support a range of training and education programmes delivered by the University of West LondonNo potential conflict of interest was reported by the authors."}
+{"text": "The focus of this research was to present a data article for analyzing the cost of displacing a drilling fluid during the drilling operation. The cost of conventional Spud, KCl and Pseudo Oil base (POBM) muds used in drilling oil and gas wells are compared with that of a Reversible Invert Emulsion Mud. The cost analysis is limited to three sections for optimum and effective Comparison. To optimize drilling operations, it is important that we specify the yardstick by which drilling performance is measured. The most relevant yardstick is the cost per foot drilled. The data have shown that the prices for drilling mud systems are a function of the mud system formulation cost for that particular mud weight and maintenance per day. These costs for different mud systems and depend on the base fluid. The Reversible invert emulsion drilling fluid, eliminates the cost acquired in displacing Pseudo Oil Based mud (POBM) from the well, possible formation damage (permeability impairment) resulting from the use of viscous pill in displacing the POBM from the wellbore, and also eliminates the risk of taking a kick during mud change-over. With this reversible mud system, the costs of special fluids that are rarely applied for the well-completion purpose (cleaning of thick mud filter cake) may be reduced to the barest minimum. Specifications TableValue of the data\u2022These data describe the volume and material estimate needed for each hole section and the type of mud necessary to achieve smooth drilling operation in each hole section.\u2022The data showed the cost, the quantity of materials and sequence at which these materials are applied to achieve optimum displacement.\u2022These data can be used to study the economic analysis of new mud systems proposed by researchers and also help to compare if these mud systems are economically viable.\u2022These data can also be used to analyze and predict prices and/or build cost for drilling mud systems for a certain mud weight and daily maintenance expense.\u2022The data reveals that cost varies according to the different mud types and are dependent on the base fluid phase.1The type of drilling fluid systems and the volume of drilling fluid needed for each hole section is summarized in The volume of drilling fluids needed for three sections was estimated and presented in The cost for drilling a typical well may be constant when drilled without any instability case. Instability during a drilling operation in wells can quickly escalate cost dramatically The build cost for a drilling fluid system is the price for the individual components and mixing requirements. The total build cost includes purchasing the initial drilling systems materials and the expenses involved with conditioning the drilling mud system in the well as it is drilled.2The water-based mud in the wellbore from the previous hole section is displaced and replaced with POBM drilling fluid. The first step is to lower the viscosity and gel strength of the water-based mud. The suggested method is to dilute the fluid with water to obtain a low rheology After drilling and prior to running completion hardware, the fluid in the borehole is often displaced to a water-based completion fluid, usually a solution of various salts. During this displacement, chemical washes and viscous spacers are placed in the solution to make surfaces water- wet, while helping to remove oil mud and residual oil-wet material from the borehole The viscosity and gel strengths of the POBM are low prior to displacement. The suggested method was to dilute the fluid with premix, base fluid or a thinner to obtain the low rheology if this is necessary. The optimal thinning of the POBM fluid will dictate how easy the mud will be displaced out of the hole.ID = Hole Internal Diameter, inchD = Hole Depth, ftThe volume of drilling fluid needed for each section was obtained using the equation below:Eqs. sxs = Sackslb/bbl = Pound per barrelbbl = BarrelEq."}
+{"text": "Tumor metastasis is challenged by its resistance to microenvironmental stress infringed during escape from the primary tumor and the colonization of a foreign secondary tissue. Because of its great metastatic potential and its strong resistance to anticancer drugs, pancreatic cancer is regarded as a paradigm of the adaptation of cancer cells to microenvironmental stress. Thus, to understand how pancreatic cancer cells adapt to the different endogenous and therapy-related stresses is crucial for understanding their etiology and for the development of new efficient anticancer strategies. This review summarizes the multiple functions accomplished by one major factor of pancreatic cancer cell stress response, the stress protein p8."}
+{"text": "The aim of this review is to highlight emerging trends about Chinese people and gambling addiction over the last 15 years, and to provide a discourse on the potential link between gambling and Chinese culture and history. The authors reported on the phenomenon of gambling among Chinese people using relevant research studies and reports and traditional Chinese literature. Chinese people have elevated levels of gambling addiction compared to their Western counterparts. These elevated rates are coupled with the rapid expansion of gambling venues within the Pan-Pacific region. While there is an accumulated body of research on Chinese and gambling, a systematic cultural analysis of Chinese gambling is still under development. We undertook a brief comparison between two ancient civilizations, China and Rome, in order to gain better understanding about gambling among Chinese people. To effectively deal with gambling addictions among Chinese people, it is imperative to develop culturally responsive interventions."}
+{"text": "Although the role of intense psychological distress in psychopathology has been recognized for centuries, the metaphorical use of the word \u2018trauma\u2019 to indicate intense psychological distress only became popular in the midst of the industrial revolution may point to innovative strategies for the treatment of trauma-related psychopathology and medical conditions (Lanius & Olff,"}
+{"text": "Over recent decades, the numerous coronary revascularisation procedures performed either by percutaneous coronary intervention (PCI), or coronary bypass surgery has led to an increasing number of patients who are no longer eligible for additional revascularisation procedures. This number of patients is expected to rise even further in view of an increase in life expectancy in patients with coronary artery disease.In a recent issue of the Netherlands Heart Journal, the investigators from the University Medical Center Utrecht report interesting findings on the use of a\u00a0coronary sinus device in patients with refractory angina in whom there were no options for conventional revascularisation procedures . This deThe principle of improving myocardial perfusion by elevating coronary venous pressure was introduced as early as 1954 when the coronary sinus was partially ligated in patients with angina pectoris . The pubThe implantation of the balloon expandable stent into the coronary sinus creates a\u00a0focal stenosis and, as a\u00a0result, an increase in coronary venous pressure. It is remarkable that none of the aforementioned clinical studies verified this supposed increase in venous pressure by using either fluid-filled catheters or pressure guidewires. There are several postulated mechanisms that may explain the improvement in angina status, although they have not been proven in the clinical setting. First, the increase in venous pressure may lead to the enhancement of collateral blood flow to ischaemic regions , 5. AddiCoronary back pressure can also be increased intermittently and this modification of the technique has recently been tested in the setting of reperfusion in primary PCI . It has The authors are to be commended for conducting this trial and for their tenacity in using this device in patients with refractory angina. Previous clinical trials and the promising results of the present study encourage further exploration of this novel mode of therapy for the increasing number of patients who are not eligible for current revascularisation therapies. The relative simplicity of the implantation techniques and their documented efficacy and safety warrants further evaluation in larger sized trials to verify these interesting findings. We must await the long-term clinical outcome of the patients enrolled in the trials, including their safety, to show if implantation of this coronary sinus device adds to the armamentarium of the coronary interventionalist for the treatment of patients with refractory angina who are no longer candidates for current coronary revascularisation procedures."}
+{"text": "An elective course for PhD students in cardiovascular and respiratory sciences was modeled and developed by a team of faculty at the Aga Khan University, Karachi. This course dealt with the multidisciplinary integrated concepts of heart, circulation and respiration components of human physiology. The understanding of basic science concepts enables students to better understand problems to derive solutions. Only those who understand how the healthy human body functions can recognize changes in diseased body to interpret the investigation rightly for an effective treatment. This forms the basis of dialectical imagination and experimentation.This was a unique course of its kind where the concept of \u2018lecture debate\u2019 was introduced. Students and faculty indulged in mutual learning and difficult concepts were dealt with thought provoking visual cues e.g. elucidating data in the form of graphs and tables instead of textual slides.The student\u2019s feedback was encouraging. They remained highly motivated and committed throughout this course as being active team learners. They took active part in session discussions, execution of experimental work and tutorials. Their status of pre-knowledge enabled them to understand problems in light of application of currently grasped multidisciplinary integrated concepts. This offered a unique opportunity of turning teaching into learning mode.Students at the end of the course were found to have developed the curiosity for learning and were able to think in response to challenges. This was evidenced by critical analysis of concepts through experimentation.The following concepts of cardiovascular and respiratory system forms the content of this course while integrating morphology, biochemistry and physiology. This integration forms the basis of physiological sciences.*Cardiac Mechanics*Cardiac Cycle*Cardiac Rhythm*Cardiac Electricity*Hemodynamics*Micro-circulation*CVS Control System*Pulmonary Mechanics*Gas Exchange*Gas Transport*Respiratory Control SystemCardiovascular and respiratory concepts were continuously developed in interactive learning sessions. This was supplemented with experimental lectures and tutorials. The course was of 12 weeks duration with two lectures, one tutorial and one laboratory work per week. This was supplemented with take home assignments of reading articles associated with the topics. The analysis of current scientific literature on the topics covered was critically debated in the context of premises and conclusion. This new model enabled the students to transform their imagination into experimentation to test the correlation between the two variables in order to arrive at an evidence based conclusion. Such a strategy of experimentation based learning could be possible through a horizontal enabling environment. Thus, this enabled to unfold the creative energy of students.The assessment was based on the following distribution of marks. It included 30% Continuous assessment (CAT), 20% student presentation and 50% formal written examination. CAT was based on the students\u2019 performance in the lecture debate and laboratory sessions. Student presentations during tutorial sessions were peer-reviewed by faculty involved in the module. Comprehensive written examination contained Best Choice and Extended Matching Questions and short integrated essay questions which included analysis and interpretations of data.This course was a unique model of how active thinking driven by curiosity for knowledge enhanced the learning experience of students. How thinking oscillates between a group and an individual and how critique enhances learning. One is winged with the ability of going back and forth with imagination and experimentation to be enlightened and nurture the learning curve of consciousness."}
+{"text": "The possible occurrence of metabolic acidosis in patients with intestinal ileus is not well recognized. We describe a patient with acute alcohol-induced pancreatitis and a large transverse colon ileus in which plasma bicarbonate dropped rapidly in the absence of an increase in the plasma anion gap. The urinary anion gap and ammonium excretion were consistent with an appropriate renal response to metabolic acidosis and against the possibility of respiratory alkalosis. The cause of the falling plasma bicarbonate was ascribed to intestinal bicarbonate sequestration owing to the enhancement of chloride-bicarbonate exchange in a dilated paralyzed colon."}
+{"text": "Effective site supervision plays an important role in construction project delivery. This situates site supervisors in taking the responsibilities of coordinating and controlling all physical aspects of the day-to-day task in construction projects. A cross-sectional design approach was adopted by administering a well-structured questionnaire to selected built environment professionals. Descriptive statistics was performed on the data obtained and are presented on figures and tables. The data was also subjected to inferential statistics using Kruskal Wallis test to analyze the perceptions of respondents on effects of site supervision of construction works on completion time and quality respectively. The significance of the analyzed data is on identifying the effects of site supervision on project completion time and quality delivery. The analyzed data will also guide project stakeholders in selecting competent personnel in executing construction projects. Specifications TableValue of the data\u2022The data reveal cogent roles of site supervisors in construction projects towards elimination of reworks, minimization of waste and ensuring conformity to standards.\u2022The impacts of site supervision on project accomplishment of time and quality will be a contribution provided by the data.\u2022The identification of the effects of site supervision will provide basics for local construction sector to equip themselves for future selection of site supervisors.\u2022The data will also guide academia in fulfilling their teaching requirements hence producing competent hands that can handle construction works.1A total of 78 online well-structured data instrument was administered to various built environment professionals comprising of Architects, Builders, Quantity Surveyors and Civil Engineers. The demographic features of the selected built environment professionals are presented in 2The collected data was based on the survey of selected construction practitioner's perception on the effects of site supervision on project completion time and quality delivery. Several literatures have reported similar accounts of the subject matter and can be found in"}
+{"text": "An exact probabilities method is proposed for computing the confidence limits of medical binomial parameters obtained based on the 2\u00d72 contingency table. The developed algorithm was described and assessed for the difference between two binomial proportions . The behavior of the proposed method was analyzed and compared to four previously defined methods: Wald and Wilson, with and without continuity corrections. The exact probabilities method proved to be monotonic in computing the confidence limits. The experimental errors of the exact probabilities method applied to the difference between two proportions has never exceeded the imposed significance level of 5%."}
+{"text": "Cost and availability of a database often impede research while the lack of compatibility inhibits collaboration by making merging of databases difficult or impossible. The Global Pregnancy Collaboration (CoLab) has promoted harmonization of studies and standardized data collection to facilitate pregnancy and placental research. Its online database, COLLECT, allows collection of minimal and optimal clinical datasets to accompany basic and applied science studies and provides a placental sample inventory system. COLLECT is available free of charge in LMIC and for $100 per month in HIC. Data is the property of the investigator but with permission can be combined into larger studies across centers and countries. \u2022High quality clinical data can usefully assist basic placental research studies.\u2022Designing a database is expensive and existing databases are usually incompatible.\u2022CoLab has designed and made available a tried and tested database at low or no cost.\u2022Data is the property of the investigator but can be easily combined with permission. Increasing amounts of evidence indicates that these syndromes, and preeclampsia in particular, are heterogeneous disorders with more than one subtype including those with involvement of the placenta. The burden of these disorders falls disproportionately on low and middle income countries (LMIC) where we know less of their pathophysiology and characteristics which indeed may be different from high income countries (HIC). Recent large scale studies of up to 5000 subjects have failed to accurately predict the occurrence of preeclampsia The Global Pregnancy Collaboration (CoLab) was established with support from the Bill & Melinda Gates Foundation as an international consortium of investigators and centers to enable sharing of data and biological samples worldwide with the objective of facilitating collaborative research studies of adverse pregnancy outcomes and ultimately improve the health of women and their infants. As part of this objective the members of CoLab have published position papers which outline standards they feel are necessary for data collection, including minimal and optimal datasets 2CoLab has designed and built a database, initially to facilitate preeclampsia studies worldwide. The database has been adapted by MedSciNet from that they designed for the international SCOPE study, ensuring it is tried, tested and robust. The database will be available free for use for investigators in LMIC with limited resources and available in HIC at a nominal charge ($100 per month). This is much less than that incurred for designing and operating one's own database. The database contains the minimal and optimal datasets as specified by Myatt et\u00a0al., 2014 3COLLECT is an opportunity for members of the clinical and basic science placental research communities to use a high level comprehensive clinical database where none existed before. This will enable harmonization of data collection to facilitate later merging with other studies if desired and help elucidate the role of the placenta in the great obstetric syndromes dickensonke2@mwri.magee.edu or Tel 412 641 1427.COLLECT is available now via The Data Manager of the Global Pregnancy Collaboration, email Bill & Melinda Gates Foundation (OPP1119324).The Global Pregnancy Collaboration is funded by the"}
+{"text": "The data article provides the factors that influence the cost; time performance of the Industrialized Building System (IBS), its prospects and challenges. A survey technique was used for this research. Structured Questionnaires were administered to occupants of prefabricated buildings and interviews were conducted with the professionals in the building industry. Statistical Package for Social Sciences (SPSS version20) was used to analyse the data obtained from the questionnaires. The variables were ranked based on Relative Importance Index (RII) calculation. The Data indicated that IBS would be more economical if used for mass production. Specifications TableValue of the data\u2022This data provides a benchmark for further studies on the performance of the precast concrete system in the construction industry.\u2022This data shows the significance of using Industrial Building Systems (IBS), its impact and valuable benefits of incorporating it in the industry.\u2022This data shows cost- time effectiveness and perception of the implementation of the building system for policy making.\u2022This data can be used to compare findings from other countries where this type of construction method is prevalent.1The data article provides the factors that influence the cost; time performance of the Industrialized Building System (IBS), its prospects and challenges.22.1Data was obtained from building professionals involved in the construction of precast concrete structures and 60 questionnaires were distributed to occupants of already constructed precast buildings in Lagos state. Data was also collected from secondary sources which include information from published journals, articles and thesis 2.2Data collected from the questionnaires administered to respondents were analysed and presented as follows."}
+{"text": "Viruses are highly abundant in aquatic environments to illustrate how sequencing technologies and associated bioinformatics tools can be utilized to trace aquatic viruses, and (ii) to discuss the new opportunities they offer for understanding the emergence of viral diseases and controlling their spread.Mutoloki et al.). In the second paper, Abbadi et al. looked at the evolution of two viruses that cause high mortalities in rainbow trout farms, the infectious haematopoietic necrosis virus (IHNV) and the viral haemorrhagic septicaemia virus (VHSV). They analyzed the glycoprotein (G) gene sequences of many isolates collected over a period of nearly 30 years and concluded that the two viruses have distinct evolutionary rates. Integration of these molecular data with high-quality epidemiological information led to propose different patterns of virus spread among trout farms.The two first articles of this topic show how sequencing a single gene of a virus may help understand the ways it propagates between aquaculture settings. Sequence comparison of VP2 gene from infectious pancreatic necrosis virus isolates showed the existence of two clades that differed by a distinct signature motif in the hypervariable region, each motif being associated with a different level of infection . Likewise, metagenomics has greatly accelerated the pace of virus discovery in the recent years, and also appears valuable to design proactive diagnostic tools able to identify novel viruses before they cause disease outbreaks .The following two articles discuss the ability of metagenomics to uncover the environmental factors that influence virus spread in aquatic environments and to identify novel pathogenic viruses. Most of our knowledge on the epidemiology of viral diseases in aquaculture so far is derived from studies carried out on infected aquatic organisms. Metagenomics offers the possibility to study the epidemiology of viral diseases outside their host species by the direct analysis of environmental samples, which in turn enables to follow the environmental factors that influence the composition of viral communities . WGS not only enables to resolve micro-evolutionary distances, but it also has the power to discover new and rare variations, including polymorphisms that arise during an outbreak or that evolve in vivo during an infection. It thus offers the possibility to track the emergence and spread of a given variant, while it may also provide predictive information concerning key phenotypic traits represents the \u201cultimate\u201d typing methodology in terms of discriminatory power emergence: the potential role of fish endogenous retroviruses. While several exogenous retroviruses have been clearly identified as etiological agents of some fish diseases data. Besides, both metagenomics and WGS are facing technological challenges when applied to aquatic viruses, which the third and fourth generations of sequencing will probably only partly overcome (Nkili-Meyong et al., The author confirms being the sole contributor of this work and approved it for publication.The author declares that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "The current Ebola outbreak in West Africa and the large scale wild Polio virus outbreak in several countries are the top most issues among international public health and scientific communities' debates and concerns. These two outbreaks were judged to be declared as Public Health Emergency of International Concern (PHEIC) during 2014. This is the first time ever to have such circumstance of two PHEICs at the same time.PHEIC, which has to be declared by WHO Director General after a recommendation of IHR Emergency Committee; is observed to start in countries with fragile health system and conflict areas. Then it rapidly spread to threaten the global public health. The year 2014 has uniquely witnessed declaration of two events as PHEIC according to IHR (2005); Polio and Ebola Virus Disease (EVD). Both outbreaks are caused by viruses such as H1N1 which was previously declared as PHEIC in 2009.Public Health Emergencies of International Concern in 2014 occurred in countries with weak health systems and conflicts and threatening the whole globe. International collaborative work is required to contain the event and to mobilize resources/capacities between countries. Moreover, public health surveillance systems as core capacity for IHR (2005) should be strengthened in all countries with focus on those with limited capacity and ongoing conflicts. The ultimate aim is timely detection of potential PHEIC events in the future along with early preparedness and response plans. This was due to international spread of Wild Polio Virus (WPV) particularly during the known low virus transmission season (January\u2013April/May) 2.0) of EVD is 2 While it is 6 For WPV-basic reproductive number is an epidemiological parameter that indicates the average secondary cases attributed to the index case of a communicable disease The year 2014 has uniquely witnessed declaration of two PHEIC events according to IHR (2005); Polio and EVD are on the top of global public health and international scientific communities' debate and agenda. Both outbreaks are caused by viruses such as H1N1 which was previously declared as PHEIC in 2009 In 2014 WPV was actively transmitted within at least ten countries with a risk of exportation and infection to others. Eastern Mediterranean Region is shouldering the greater portion of this burden particularly due to \u201cPakistan to Afghanistan\u201d and \u201cSyria to Iraq\u201d exportations. While, \u201cCameroon to Equatorial Guinea\u201d and \u201cEquatorial Guinea to Brazil\u201d are the other documented exportations in the rest of world during 2014 EVD in 2014 started and propagated in western Africa. Guinea was the index country which exported the infection to Sierra Leone and Liberia initially, and later to Nigeria, Senegal and Mali in addition to Spain and United States of America.WHO had made case specific recommendations based on IHR (2005) to cope with current states of Polio and EVD. These recommendations are generally temporary and are subject to the day to day progress and developments. For Polio, recommendations in infected and exporting countries included official governmental declaration that Polio transmission is a national public health emergency. In addition to vaccination for travelers and documentation with international vaccination certificate as per IHR PHEIC in developing countries that are represented in this discussion by Afghanistan, Pakistan and Sudan carries and tells several stories and lessons that need to be well taken. These countries like other several developing countries have been subject to long standing civil wars and turmoil. Two of these countries are directly involved in the current declared PHEIC related to Polio in the epidemiological block that includes both Afghanistan and Pakistan with a common viral circulation pattern and exporting the virus to each other. While Sudan is an African country that been affected by major disease outbreaks during the recent years such as Rift Valley fever outbreak in 2007 and Yellow fever outbreak in 2012. Within these countries we notice that classical index areas for spreading these outbreaks are the most vulnerable and security compromised areas. In Afghanistan, the Southern region including Kandahar and Helmand is persistently being the reservoir for WPV. The same is true for the tribal areas in northern part of Pakistan that remain as major contributor in terms of Polio related outbreaks. In Sudan, the index cases of Rift Valley fever outbreak started in the previous conflict border between Sudan and the republic of South Sudan. In 2012, the yellow fever outbreak started and spread from security compromised areas in newly formed central Darfur state in the western part of the country.Eastern Mediterranean Region Office for WHO that including theses three countries had recently conducted an assessment for country preparedness to EVD potential case importations. It revealed that countries have very low capacity to respond and control potential outbreak despite the fact that technical guidance have been provided to these countries. It is now clear more than any given time before that health systems should be adequately built in all such countries. National governments of these countries are required to prove the commitment to implementation of IHR (2005). Availing adequate or even the minimally required capacities to cope with any PHEIC in a country is the major determinant of the final outcome. This also could be concluded from the recent experience of response to current PHEIC. Despite the huge efforts that paid by international community represented by the United Nation Mission for Ebola Emergency Response 3.In this brief discussion, it is clear that Public Health Emergencies of International Concern occurs in countries with weak health systems and internal conflicts then threatening the whole globe. International collaborative work is required to contain the event and mobilize resources/capacities between countries. Public health surveillance systems as core capacity for IHR (2005) should be strengthened globally aiming for timely detection of potential PHEIC events in the future. Building capacities for implementation of IHR in war/turmoil stricken countries with low resources, weak and fragile health systems will guarantee early detection, response and control and PHEIC in other parts of the world."}
+{"text": "The purpose of this paper is to demonstrate the relationship between food preservation and reducing consumer waste is of value in developing sustainable meal options. The research reports insights into Austrian marketplace for frozen and fresh foods that have been obtained from a consumer survey.The consumer survey methodologies indicate how preservation can change meal planning and lower food waste across frozen and fresh and ambient food purchases using freezing preservation methods.The results show food waste can be reduced by six-fold when frozen foods are compared with fresh foods.This study highlights the requirement for a greater understanding of the probability that specific foods will be wasted with respect to the frequency of purchase. This is a limitation of the current study that has been investigated by other researchers.This research has enabled the identification of different food waste amounts for different food product categories. The data presented could be used to guide food product development so that less consumer waste is produced.The research suggests a decision matrix approach can be used to can guide new product development and a model of this matrix is presented so that it may provide fit-for-purpose food preservation options for consumers.This paper will continue to highlight the overlooked value of food preservation during processing and manufacturing of foods and their preparation in households. Consumers produce the greatest amount of food waste and loss in the food supply chains of developing and developed economies .Previous food waste reduction initiatives have typically focussed outside of this consumer arena and they have focussed on manufacturing and retail food losses. They have been successful at designing out food waste using the right-weighting of food products (portion control) and light-weighting of packaging . Their success has been made possible through cooperative actions across the food industry that have developed joint responsibility for food waste. It is essential that these initiatives now act to reduce the food that consumers purchase but do not eat . While tThere has been an emergence of re-distribution schemes and community focussed actions that have been successful at removing food waste from supply chains. Redistribution of foods that are close to shelf-life limits and schemes that facilitate providing food to consumers such as \u201ccommunity fridges\u201d have an exceptionally important role to play in waste reduction particularly where communities experience limited accessibility and affordability of foods. The redistribution of foods from retailers and manufacturers that are close to shelf life limits or charitable donations has also seen the impact of using on-line communication technologies that connect providers with consumers of redistributed foods . A more Schemes that engage and redistribute resources to reduce food waste do not fully address the issue of food and drink products being wasted by consumers because they are not designed to reduce food waste. They redistribute food that would otherwise be waste; the study reported here focusses on reducing the wastage of food that is purchased with the intention of using it. The preservation of foods and types of food preservation methods available to consumers can facilitate this because it reduces food degradation and improves the utilisation of food in the domestic environment. This is a principle that has remained largely unconsidered even though the production of food waste increases greenhouse gas emissions or the carbon footprint of food consumption . It is cIn this study, it is demonstrated how frozen preservation can provide greater utilisation of food by consumers and reduce household food waste. It is not intended to show frozen is the only option for reducing consumer food waste. It is hoped that the research will highlight the use of preservation methods in reducing consumer food waste and that there are several factors that must work together in food waste reduction is to be successful. Previous research carried out in the UK market compared fresh and frozen food use in households and the amount of consumer food waste was dependent on food preservation method. The study showed a 47 per cent reduction in household food waste for frozen products compared to fresh products .Frozen food in this study is defined by all food that is frozen via quick freezing; this ensures the cell intactness and preserves the nutritional value of the food. The process of freezing food in this household focussed study is defined as non-frozen food which gets frozen via a standard freezer (at home), as such this is slow freezing where cell structure is not maintained and it is less beneficial than quick freezing but adds to shelf life significantly. The definition of fresh food in this study is all non-frozen and non-freezing food.Working with frozen foods not only gives us an opportunity to consider the value of food preservation in households but we must also consider manufacturing factories providing efficient use of resources and continual availability . This prFrozen foods have played a pivotal role in enabling the global food supply chain to evolve and without that food losses would be increased in agriculture and processing. Many of the food supply chain issues highlighted in current food loss and food waste research do not exist with frozen foods because quick freezing leads to the extended shelf life gains that many waste reduction initiatives seek . The \u201cclThe Austrian market research reported in this paper allows us to extend current understanding of the utilisation of frozen foods. It also leads us to consider the broader issue of what incentivises consumers to eat a more sustainable diet. Austrian households currently produce around 369,000 tons of packed and unpacked food waste each year and there is over 23.4 million tonnes of food waste produced by households across the EC member nations . The datThe Austrian market data was collected via an online survey carried out by the Institute of Marketing & Innovation, University of Natural Resources and Life Sciences, Vienna (BOKU) and Gesellschaft f\u00fcr Konsumforschung (GfK SE) during July 2015 . The surThe survey participants were selected to represent the typical Austrian population with regard to age and educational level. The selection made for geographic distribution across the Federal States was proportional to the population in each Federal State. The selection to the panel of 2,800 was made using the GfK market survey methods used for market research. GfK are a commercial and international company that provided the survey panel of 2,800 households. GfK\u2019s services are routinely used by the food sector by manufacturers and retailers to develop business activities and identify food and drink trends. The participants used in this survey bought food and drink for their household and were asked how much food they wasted across six food groups as a percentage of the total amount of the food they purchased. The six food groups were selected because they were important food categories in Austria that have both frozen and fresh options. Notably this included bread where the offer and purchasing of frozen bread rolls is typical for Austrian consumers.What percentage of fresh food from your household purchases do you throw away?What percentage of the frozen food from your household purchases do you throw away?What percentage of fresh food from your household purchases do you throw away per following product groups?What percentage of frozen food from your household purchases do you throw away per following product groups?The participants of the survey were asked to consider their household food waste in a week from the food they purchased, partly utilised food, leftovers (plate waste) and preparation residues. The core questions of the survey that asked participants to report their proportion of food purchased that was wasted as a percentage were as follows:The food groups were fruit; vegetables (including specific questions for potatoes and spinach); bread (fresh only); pasta; meat; and, fish . The core questions were developed in terms of what food product groups were wasted in households. The survey also collected demographic information so that the 2,800 participants reflected a typical sample of the Austrian population and this was determined using GfK\u2019s demographic methods.The amount of food waste produced in the sample of 2,800 Austrian households is shown in The goal of the research reported is to show how food waste behaviours connect many sustainability issues across the complex food choices consumers make when meals are prepared. Our research shows food manufacturers and food retailers occupy critical points in supply that can determine how these food consumption behaviours can be transformed into more sustainable ones. An important way of achieving this is through reducing the food waste associated with every meal.Notably, the fresh to frozen ratio of specific food products , includeThe reduction of food waste and correct meal portioning of specific food products are important because when they align and work together they can reduce food waste. This means data collected from consumers regarding what they consider to be the correct portion size in a meal is exceptionally valuable in waste reduction actions and it is rarely done. Obtaining such data is a challenge future research into food waste will need to address so that it can be transferred to food product development operations for maximum impact. The data collected here does not consider correct portion size data specifically but it does indicate its importance. The Austrian research reported here has shown that the fresh food thrown away per household per person for this sample was 37.48\u2009kg each year while the frozen food thrown away per household per person was 6.46\u2009kg and per year. The nutritional losses associated with food waste have yet to be fully characterised but they are an important component of food waste projections (While we can determine the environmental impact of consuming foods in terms of their carbon footprint, it is the impact of wasting foods as an outcome of consumption that concerns us here. This is important because assessment of the environmental value of foods requires considerable investment of finance, knowledge and skills. It seems futile to make this investment if the assessed foods are wasted downstream in the food supply chain as they are prepared and consumed. New supply chain models are required to promote the value of reducing food waste and guide processes such as freezing that can reduce food waste. The data presented in Current carbon footprinting methods show us that agri-production and global distribution can be the least of our problems because food wastage can be up to 20 per cent of food purchases and food losses across the supply chain can be far greater than this (These ideas lead us to summarise the research presented here as a decision matrix model . The decThe research reported here shows purchased fresh foods have a six-fold greater food waste compared to purchased frozen food in a survey of 2,800 Austrian households. The research supports previous research conducted in the UK where a 47 per cent food waste reduction was demonstrated for frozen foods compared to fresh foods. This relationship shows maximal resource use is achieved for frozen food products that are manufactured for the convenience of being included in meals. The conclusion is that food manufacturers, food retailers and policy makers must consider the role of food preservation in delivering a sustainable diet. The decision matrix approach here provides initial guidance in new product development a basis for doing this and it is supported by data sets that have now been obtained in the Austrian and UK markets."}
+{"text": "Thinking the roof will collapse because you feel anxious). Exaggerated use of negative feelings as source for judging danger has been demonstrated to have clinical relevance both as maintenance factor and thinking have always been viewed in interaction. One way our feelings interact with our thinking is through judgments we make about external situations based on how we feel about them rather than on objective facts. We may conclude that we will get a salary raise because we feel good about the letter we received rather than on the facts that suggest the raise which serves as input for further thinking . In other scenarios, only objective danger information was presented. After being presented scenarios that included information about feelings, participants judged the probability of danger as higher than after scenarios without information about feelings. Arntz and colleagues also asked participants to \u201cevaluate these events as if they are happening to you.\u2026try to identify yourself with the description as much as possible\u201d . Furthermore, if simulations of feelings are important for the effect of feelings on higher cognition, then the properties resulting from FaEI will both be recognizable and necessary to see such an effect.Affective forecasting refers to estimations of how one will feel in the future . The results showed that people who were depressed and had higher pre-treatment EMG zygomatic values when they imagined positive feelings respond better to antidepressant treatment in emotional disorders. Analogous to measures of vividness of kinaesthetic imagery (in which participants are asked to rate the clarity of imagining the sensation of movement), studies may measure the vividness of imagining feelings by asking participants to rate the clarity of imagining emotional states.In line with studies that have investigated the imagery of emotional events (Holmes et al., The author confirms being the sole contributor of this work and approved it for publication.The author declares that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "C. elegans are kinds of reactive chemicals mainly formed in mitochondria as byproduct of normal metabolism of oxygen is known as the herbicide and is often used as ROS inducer in biomedical studies (Castello et al., The excessive response may be a preparation for unpredictable and harder conditions forthcoming. If the extent of the response is only appropriate but not excessive, the organism will be killed immediately by worse environmental factors before it has time to motivate stronger protective mechanisms. Such kind of response may also exist in other cellular processes besides ROS metabolism. It is well known that physical activity is beneficial for health in terms of prevention of heart disease and cancer, fat control, and maintenance of mental function (Berra et al.,"}
+{"text": "The high service burden for acute admissions and referrals via rapid access chest pain clinics for evaluation of possible coronary artery disease means that many patients are now undergoing an investigation such as stress echocardiography as part of their evaluation. We aimed to see if the reassurance provided by negative stress echocardiography correlates with long-term event free survival.A cohort of all patients who were referred at a single centre for stress echocardiography for diagnosis of coronary artery disease between January 1st 1999 and December 31st 2000 were followed up at least 10 years following theirs stress echocardiogram for further major cardiovascular events and mortality.A total of 64 patients were identified where records could be obtained for analysis. There were 16 positive scans, 37 negative scans and 11 inconclusive scans. The indeterminacy rate of scans was 17%, the sensitivity rate for detecting significant disease as indexed to invasive angiography was 88 % and the specificity rate compared with angiography was 75%. There were no myocardial infarctions or new diagnoses of heart failure in the negative echocardiogram group. There were seven deaths in the total population and only one death from cardiovascular causes in the negative echocardiogram group.Stress echocardiography even in this small group predicts long-term outcomes as well as invasive coronary angiography. Stress echocardiography was initially developed approximately 20 years after the initial introduction of cardiac ultrasound in 1979 and was limited by poor technical apparatus [Since then there has been rapid development in terms of techniques, indications and the accuracy of the test with thousands of people undergoing stress echocardiography each year. This rapid expansion in testing has rested on numerous works showing that stress echocardiography has evidence in predicting cardiovascular outcomes .More specifically what has been shown in a meta-analysis of available work with a follow up period of approximately 33 months is that a negative stress echocardiogram, very strongly confers a low likelihood of future major adverse cardiovascular events and theyThe role of imaging in cardiology is increasing year on year and the current recommendations from the European society of Cardiology suggest usages for echocardiography which covers a very large proportion of patients .In the United Kingdom (UK), the recently published guidance from the national institute for clinical excellence (NICE) has clarified the role for stress echocardiography in the assessment of people with stable chest pain . As streMost hospitals in the United Kingdom are unlikely to have access to cardiac magnetic resonance imaging or myocardial perfusion single photon emission computed tomography, which are the two other recommended options in the moderate risk group. We therefore felt that as our centre is a non-specialist centre as our the majority of centers in the UK, we needed to clarify how useful a negative a result would be for the people seen and assessed by stress echocardiography.What we aimed to establish with this audit was whether the strong negative predictive value of stress echocardiography for future events in the short term was replicated in the long term.The patient list was formed from a list of patients kept by the department of cardiology who underwent stress echocardiography between January 1st 1999 and December 31st 2000. All patients were referred for stress echocardiography from within Aintree University Hospitals NHS Foundation Trust to a single operator. All patients who were referred for the assessment of possible ischaemic heart disease were included, patients with known disease undergoing viability assessments or those with valvular pathology being further assessed were not included in the analysis.As part of the ongoing service evaluation and audit process, it was not felt that this work required referral to the national ethics system. This work was however formally approved by the audit department university hospital Aintree NHS foundation trust.Patients were admitted to the department following the omission of all rate limiting drugs or caffeine containing products for 48 hours. Patients were put on continuous electrocardiographic monitoring and regular blood pressure monitoring. Patients were given a pharmacological stressor either arbutamine in standAn examination was considered to have reached the required heart rate for examination at the discretion of the operator but normally a level of at least 85% of age related maximum was used. The images were then analysed offline by a single experienced operator (AA-consultant cardiologist). Examinations were considered diagnostic of ischaemia and therefore positive when 2 or more adjacent regions became hypokinetic with stress in line with published guidelines .Results were collated in terms of the age, sex and risk factor distribution of the patients scanned. We then collated the number of positive, negative and inconclusive echocardiograms recorded and then the sensitivity and specificity of the test by comparing the echocardiograms where there was an invasive coronary angiogram after and if that showed significant flow limiting disease. We also made a record of the percentage of age predicted maximum heart rate that was achieved where that information was available.We then collated how many patients went on to develop myocardial infarctions, heart failure and who died from all cause and cardiovascular causes . Follow up was performed using the patient\u2019s casenotes, electronic data and if needed by correlation with the general practitioner\u2019 s records.In all we found 64 patients who had stress echocardiography performed in the period from the 1st of January 1999 to the 31st of December 2000 for the attempted primary diagnosis of myocardial ischaemia.The average age of patients presenting was 56 (95% CI 54 to 58) with fifty one percent being female.The average heart rate as a percentage of the age predicted maximum reached for all stress echocardiograms performed was 83% (95% CI 81 to 85).The risk factor profile of the patients involved in the study is shown below in In our cohort of 64 patients there were16 positive scans, 37 negative scans and 11 inconclusive scans.The indeterminacy rate in our collection of echocardiograms was 17% and the sensitivity of stress echocardiography in our cohort was 88% and the specificity 75% using the standard method.The primary outcome measurements were in all cause and cardiovascular mortality and major adverse cardiovascular events .In all there 7 deaths, 2 in the positive echocardiogram group from cardiovascular causes, 1 in the inconclusive echocardiogram group from cardiovascular causes and four in the negative echocardiogram group.In this negative echocardiogram group there were 2 deaths not related to cardiovascular causes and 1 death from cardiovascular causes (witnessed ventricular fibrillation- with no obtainable post mortem report). The cause for one patient could not be determined due to a lack of correct address and general practitioner details.This equates over the minimum ten year follow up to a 0.27% per year risk of death from a cardiovascular cause following a negative stress echocardiogram.The results for the patients developing major adverse events such as heart failure and myocardial infarction are shown below .Using a Mid P exact test, there was no significant difference between the all cause and cardiovascular mortality rates in the positive and negative echocardiogram groups, owing to the low numbers involved.Using a Yates corrected Chi-Squared test there was a significant difference between myocardial infarction and rates of heart failure between the positive stress echocardiograms and the negative stress echocardiogram (P < 0.001).What this studies expands on compared to previous work is that high reassurance provided by a stress echocardiogram in the short term is repliWhen compared to a negative invasive coronary angiogram the per year risk of cardiovascular death rate of 0.51% [Our sample is a small sample with a single operator and as such is open to biases associated with smaller studies. We also assumed invasive coronary angiography to be the gold standard and that luminographical analysis when negative excluded significant disease. There is more and more work using intravascular ultrasound that suggests that unstable plaques and varying plaque morphology may be more significant than operators may appreciate with traditional angiography . This maThe final limitation to our study is that because all the echocardiograms were analysed by one highly experienced reader, there is an inherent expert bias in terms of the accuracy of the results. It maybe that when replicated with less experienced readers that the interpretation of the echocardiograms may not be as accurate and the outcomes not as favourable.As our results fit in broadly with in terms of sensitivity, specificity and previously reported mortality rate and adverse event rates published in the shorter follow up period for new referrals , we feelAs ever cost effectiveness is a major aspect of all work performed in the national health service and stress echocardiography has been shown to a very cost effective way of reducing the need for invasive angiography and now It would of course be interesting to repeat this work in a larger group with more operators to see if our results are replicated. With improvements in the scanner technology behind stress echocardiography, we expect the accuracy and the predictive value to improve. We suggest also that correlation between positive echocardiograms and apparently normal angiography be repeated with intravascular ultrasound or optical coherence tomography to more accurately visualise vessels and plaque.Negative stress echocardiography is as good a negative predictor of cardiovascular mortality."}
+{"text": "The increasing demand for energy and the need for clean and affordable energy in Nigeria have necessitated the need for renewable energy resource assessment and subsequent determination of suitable sites within the country. One of the promising renewable energy resources with good potentials of meeting the energy requirements is wind. One of the main challenges of wind power development in Nigeria is lack of scientific data for policy formulation and decision making that will aid the development of wind power utilization. The data presented in this article were obtained with proper evaluation of the wind resource while taking into consideration environmental, social, and economic factors. The information from the data could be useful for taking optimal site selection decision by the policy makers, government, engineers etc. This will ensure optimal investment and return on investment for wind farm developers. Specifications TableValue of the data\u2022Discoveries from the data set could draw the attention of the government to the most suitable states for wind farm establishment for grid integration.\u2022The data set could serve as a tool for estimating wind energy potential in the country and development of renewable energy map.\u2022The data set could serve as a reference for the utilization of wind resource for energy generation by investors and energy companies.\u2022The data and findings could serve as a reference for government policies and planning.\u2022The data set could be used for educational and instructional purposes.1The data contained in this paper comprises of proposed wind farm sites data obtained from wind farm site evaluation in Nigeria. The data includes wind farm suitability map for Nigeria , maps of2The average annual wind speed data for 28 locations obtained from Nigeria Meteorological Agency (NIMET), Oshodi, Lagos, Nigeria was gotten from a previous work The criteria weights generated , togethe"}
+{"text": "The authors of a recently published article entitled, \u201cAdverse childhood experiences and risk for suicidal behavior in male Iraq and Afghanistan veterans seeking PTSD treatment\u201d by Carroll et al. examinedResearch on psychiatric disorders and suicide risk among active duty personnel and military veterans tends to focus on traumas related to the military service \u20137. HowevThe results of studies by Blosnich et al. and AfifThere are a lot of research observations of the effects of ACE on the psychobiological development of children and adolescents. Considerable evidence suggests that the brain development of children is likely to be affected in by their ACE \u201321. EarlMilitary service may subject individuals with a history of trauma to additional trauma such as combat, which may additively increase risks of psychiatric disorders and suicidal behavior. If some military recruits have trauma-related psychological abnormalities that predispose to psychiatric disorders when they enter the military, then we have to seriously question the screening that goes into allowing persons to enter the military . PossiblIt is important to address early trauma histories in addition to more recent traumatic experiences because the psychobiological impact of early trauma is different from psychobiological effects of trauma during adulthood , 33. StuClinicians, researchers, and health policy makers should work to reduce the stigma of revealing ACE and apportion funds for epidemiologic studies and the development of new treatment modalities to tackle problems related to ACE among military personnel and veterans .The author confirms being the sole contributor of this work and approved it for publication.The author declares that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Prefrontal cortex (PFC) has long been known to be a region of the brain crucially important for cognitive processes. Major progress has been made in understanding the functions of this part of the brain however when it comes to brain organization there are still unanswered questions. In particular, if we compare known prefrontal cortex organization to that seen in sensory cortices, it is not currently clear whether PFC organization is essentially the same or different. This research topic focuses on the structural and functional organization of the prefrontal cortex in rodents and primates and makes a contribution to current research and debate within this field of neuroscience.Bedwell et al.; Bedwell et al., neuroanatomical tracers were employed to investigate PFC cortical connections. These studies illuminate a connectional feature common to PFC and other cortical regions: topological/topographical organization of connections. In addition, these studies provided evidence at a fine microscopic resolution for both reciprocal and non-reciprocal PFC connections. The finding of fine-scale non-reciprocity is unexpected, especially when one considers that other cortical regions (such as sensory cortices) are well-known for their detailed reciprocity. The study by Nguyen et al. uses electrophysiological approaches to explore important functional questions about the anatomical connections between PFC and primary visual cortex. Such links may be important for mediating attentional and other top-down signals. The experiments provided evidence for a functional link between infralimbic and prelimbic cortex and V1, but they found that this link was not mediated strongly via basalo-cortical cholinergic projections. Another feature of anatomical organization is the columnar organization present in PFC and in other regions of the mammalian cerebral cortex. Several previous anatomical studies have provided evidence for columnar or modular organization within PFC, in this topic Opris et al. investigated the functional aspects of this organization during exposure to cocaine. The results help to show how cocaine interrupts complex cognitive processing within columns and layers of the monkey prefrontal cortex.In the articles by Funahashi in this research topic, the interpretation of delay period activity in relation to visual memory tasks in primates is explored. The article presents previous and historical findings on the subject and discusses different interpretations of these important results. Another important function ascribed to the PFC is fear processing. PFC is known to have strong anatomical links with the amygdala, which is an important structure for mediating fear responses. This research topic features two articles which indicate that PFC plays a role in the processing of fear-related stimuli . Sharpe and Killcross investigated how cues modulate conditioned fear using inactivation of the rat prelimbic cortex. The authors found evidence for a prelimbic cortex role in the processing of these behavioral cues so that responses can be modulated accordingly. Shiba et al. explored how PFC lesions alter innate fear in the primate brain. Here the authors found that lesions to either ventrolateral PFC and orbitofrontal PFC caused heightened fear in response to predatory stimuli.Prefrontal cortex is perhaps best well-known for its role in cognitive function. The classic experiments of Funahashi and colleagues in the late 1980s and early 1990s in reorienting attention was investigated. In this study a patient with MFG resection was compared to healthy volunteers and the results showed that, in certain tasks, the patient found it difficult in switching to top-down attentional control. In the review article by Cassaday et al., PFC studies involving attention are discussed in relation to the methodology employed and the results from different regions of PFC. This article covers studies of both rodent and primate PFC and outlines the evidence for distinct PFC regions having a role in both attention and executive processes. Remaining on the subject of methodology is the field of optogenetics which has become an increasingly important approach used in the arena of cognitive neuroscience. In the review article by Riga et al., the subject of how optogenetic tools have been used to study the prefrontal cortex in animal models is explored and discussed. The article highlights how these tools have been used to effectively study the functional circuitry of PFC in rodents. Optogenetics continues to be developed rapidly and successfully combined with existing techniques, such as fMRI (Liang et al., Another crucial cognitive function is attention and there is substantial and increasing evidence for the role of PFC in attention. In the imaging case study by This research topic provides a snapshot of current PFC research and highlights some of the progress made in understanding PFC anatomy and function. Many of these studies also point to the important role of PFC microcircuitry in cognitive processing. Clearly there are still important and fundamental gaps in our understanding of PFC structure and function. There are many similarities between the anatomical organization of PFC and other cortical regions yet functionally PFC may be unique, possibly having a multifunctional role which is difficult to define Duncan, . We stilThe author confirms being the sole contributor of this work and approved it for publication.The author declares that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Hemispatial neglect refers to the defective ability of patients to explore or act upon the side of space contralateral to the lesion and to attend to stimuli presented in that portion of space. Evidence from animal models suggests that many of the behavioural sequelae associated with visual neglect may result not solely from the size of the lesion, but also from a pathological state of increased inhibition exerted on the damaged hemisphere by the contralesional hemisphere. On the basis of these potential mechanisms underlying neglect, in this review we discuss therapeutic approaches, focusing particularly on recent research using transcranial magnetic stimulation (TMS). This technique, besides representing an ideal tool to investigate visuo-spatial attentive mechanisms in humans, has shown promising beneficial effects that might have an impact on clinical practice."}
+{"text": "This paper reports a case study of acquired surface alexia in Spanish and discusses the most suitable tests to detect this syndrome in a writing system that is very regular for reading at the segmental and supra-segmental levels. Patient MM has surface alexia characterized by quantitatively good performance in reading words and pseudowords; accurate but slow and syllabic reading of words, nonwords and sentences; good performance in lexical decision tasks including words and nonwords; errors in lexical decision with pseudohomophones; and homophone confusions. This pattern of reading can be interpreted as a disorder in the lexical reading route and overdependence on the non-lexical route. We discuss nonlexical impairments and the interpretation of alexia and suggest tasks to identify surface alexia in a shallow orthography."}
+{"text": "Pelvic and lower abdominal pain constitutes more than 30% of the referrals to our adolescent medicine and gastroenterology clinics. These cases are responsible for numerous school absences and significant cost to the healthcare system. This article will review the most common causes of lower abdominal and pelvic pain in adolescents, diagnostic and management issues, as well as prevention."}
+{"text": "Obesity is associated with increase in mortality and morbidity due to renal dysfunction. Adipocyte cells are able to secrete different protein named adipokines. In obese subjects, the production and secretion of adipokines alter and these may affect renal homeostasis. More study in the effect of adipokines in progression of chronic kidney disease can help us to understand the pathophysiology and better management of kidney disease in obese patients.Journal of Nephropathology\u201d discussed the relationship between obesity and renal function have been completely observed by author.No funding from any source is directly associated with this manuscript."}
+{"text": "The remodelling of the NHS requires a strong general practice nurse (GPN) workforce within general practice. The challenges facing general practice nursing are set within the current policy context and recent available evidence and illustrated by drawing upon the experience of a current GPN working in London. It is argued that there is a need to support the professional development of GPNs and nurture the next generation of potential GPNs if the current shortage of GPNs is to be addressed. General practice nurses (GPN) are integral to effective primary care but they are often neglected in discussions about the development of primary care and its workforce. There is a current shortage of GPNs in London and elsewhere and a third of current GPNs are expected to retire by 2020. The issues affecting the general practice nursing workforce are long standing and need addressing urgently so that its capacity and capabilities are maximised and the current shortfall remediated.The working conditions and professional development of GPNs require attention.The world of general practice nursing is changing. This article will draw on the experiences of a general practice nurse (GPN [CWB]) gained over the last five years through working in ten different general practices within London. GPNs are an essential component of primary care and withFive Year Forward View sets outThe Queen\u2019s Nursing Institute (QNI) surveyedThe QNI survey aBaird et al.\u2019s recent sLike many GPNs, CWB\u2019s entry from hospital nursing was serendipitous. CWB was confident and competent in cardiovascular disease and health promotion with her accident and emergency background and recent experience as a Borough smoking cessation advisor but she needed additional training in diabetes, asthma and chronic obstructive pulmonary disease. A generaThere is little incentive for GPN nurses to do more courses especially independent prescribing which requires practice support and time to complete the required assessments. Independent prescribing would take a GPN to the next level of working as an Advanced Nurse Practitioner (ANP) but there is no guarantee of financial reward. Currently contracts do not routinely reflect the role and responsibilities of the GPN although they should be reviewed with the post-holder as the workload changes. The exteSupport for continuing professional development (CPD) can be problematic with CW-B\u2019s access to study days in the different practices varying from 0 to 4 while many of the better courses are 4\u201312\u00a0days in length. Further mandatory courses often compete with CPD both with their scheduling and approved absence for study/training. In 2014 the local Health Education England (South London HEE) sponsored free places on the postgraduate Train the Teachers course together with mentoring/coaching to support newly qualified nurses and student nurses in primary care but without recognising the constraints facing GPNs which included attendance at CGC mandatory and core role training before the end of March. The training included safeguarding in childhood and travel vaccinations study days, and updates in cervical cytology, diabetes, asthma, cancer, leg ulceration and mental health including Depot treatment. A GPN\u2019s CPD may be further impeded by the October\u2013March focus on the delivery of the QOF targets with the new national childhood immunisation schedule adding to the workload throughout the year.In order to become a practice teacher (to support student nurse learning) in primary care , a certified nurse teaching qualification must be completed which CWB undertook in her time. But like other CPD, because the GPs contend that as they have not asked for her to do the courses, there is no financial reward despite using her enhanced skill set at every available opportunity such as managing asthma patients. Additional constraints are the costs and scheduling of the courses. There are relevant e-learning courses and those offered through the Local Medical Committees but their cost is more than \u00a3500 which GPNs cannot afford. The timetabling of university based courses between October and March is also unhelpful. Few universities run courses over the summer months when GPNs have most availability and their course regulations are inflexible to the needs of those working in overstretched primary care where requirements for supervision of new skill development and certification of attained proficiency is challenging. The lack of accessibility to learning opportunities underminMany GPNs are lone practitioners in their general practice and working part-time adds to In some general practices the GPN may undertake minor injury work or surgery such as the removal of lumps and tags following Patient Group Directives. In another general practice the GPN may develop and support Expert Patient groups while in another practice the GPN may undertake work associated with district nursing such as visiting patients with the GP and sometimes on their own if the Patient Group Directives permit lone visits. Some GPNs have an ANP qualification and forget or lose their GPN skills so that an ANP will not test a urine sample referring their patients to the GPN!An added complexity is the power of the receptionist staff who may operate with or without the consent of GPs and may be relatives of key individuals making the organisational politics challenging for an \u2018unrelated\u2019 GPN. Indeed Hammond et al. observedBeing a GPN is a challenging role because it is complex compared to many other nursing roles based in hospitals and other institutional settings. The role exists within an often hidden and mysterious general practice hierarchy with plenty of titles to confuse patients and sometimes the GPNs themselves. The new role of nursing associate will onlThe time has come for GPs and policy makers to recognise the value of GPNs and establish a system which rewards them appropriately and nurtures their development. Many nurses become GPNs having worked as established hospital nurses with a wealth of knowledge but were unable to combine childcare and other caring responsibilities with hospital shift work. At a time of workforce shortages primary care cannot afford to waste opportunities to recruit a new generation of GPNs to replace those retiring by 2020 nor can primary care afford to \u2018squander\u2019 the potential talents of the current GPN workforce. Perhaps supporting ageing GPNs to mentor and provide placements for nursing students so that The authors have no conflict of interest to declare."}
+{"text": "The Trail Making Test and Digit Span are neuropsychological tests widely used to assess executive abilities following stroke. The Trails B and Digits Backward conditions of these tests are thought to be more sensitive to executive impairment related to frontal lobe dysfunction than the Trails A and Digits Forward conditions. Trails B and Digits Backward are also thought to be more sensitive to brain damage in general. Data from the Stroke and Lesion Registry maintained by the Washington University Cognitive Rehabilitation Research Group were analyzed to compare the effects of frontal versus nonfrontal strokes and to assess the effects of stroke severity. Results showed that the performance of patients with frontal and nonfrontal strokes was comparable in each condition of both the Trail Making Test and Digit Span, providing no support for the widely held belief that Trails B and Digits Backward are more sensitive to frontal lobe damage. Further, Trails A was as strongly correlated with stroke severity as Trails B, whereas Digits Backward was more strongly correlated with stroke severity than Digits Forward. Overall, the Trail Making Test and Digit Span are sensitive to brain damage but do not differentiate between patients with frontal versus nonfrontal stroke."}
+{"text": "Advances in tactile cognition and haptics have increased our understanding of the multimodal nature of touch. Haptic data is mostly confined to human performance arising from the flexibility and dexterity of the fingers used to discriminate shapes and objects. Studies with infants indicate that recognition of objects either seen or held in the hand is possible during early periods of infancy. Evidence indicates performance differences between the hands decrease over periods of development, reflecting maturation of the cortical brain system supporting motor skills. Thus ability is not confined to the preferred hand. Tactile process and haptic cognition reflect hand ability. Studies examining manual performance must consider the relevance of haptics in research. Knowing about the evolution of the hands controlled by the cerebral hemispheres is of interest because it is a major contribution to the repertoire of human hand actions. The emergence of RDBM is an important shift in the development of infant manual skills. Between 4 and 7 months of age, infants begin to manipulate objects using RDBM where one hand stabilized an object while the other hand manipulated the object. Understanding the affordance of a tool is an important cognitive milestone in early sensorimotor period that develops during the second year in full-term infants. This ability has also been demonstrated in preterm infants indicating the emergence of handedness during prenatal periods. Thus a multimodal approach that incorporates studies of tactile processes and hand actions may reveal their interactions with task demands and haptic ability. The subject of cognition in Psychology has evolved from Gestalt views of brain isomorphism to attributing information processing capacities and mental rotation abilities in the brain . StudiesThe study of haptics or active movement in touch , 2008 haFurthermore evidence indicates preattentive sensory processes during tactile searches as in vision, when stimulus characteristics such as sharp edges or angles pop out during contact . PlaisieKnowing about the evolution of hand use is important because it is a major contribution to existing lateralization and the repertoire of human hand actions. It is now established that brain lateralization is no longer confined to the human brain but exists among animals or the vertebrate species and amonThe division of labor by the two hemispheres predates humankind by half a billion years . These aRecent studies show that there may be subtle functional differences between the hands . These aBy 4 months of age there is a division of labor between the hands, revealing better right hand performance for fine motor movements and left hand performance for spatial arrangement and haptic processing . These fThe emergence of RDBM is an important shift in the development of infant manual skills. In bimanual tasks differing in the precision of the movement required to remove pieces of paper from a stalk, the right hand was used more often than the left not only to grasp the object but also to remove pieces. Though infants do not anticipate the need of their preferred hand to remove pieces, they showed handedness in these coordinated bimanual tasks to a greater degree on those requiring precision grips than whole hand grip, indicating handedness develops early and is related to the precision required from the active hand . UnderstIn summary a multimodal approach that incorporates studies of tactile processes and hand actions may clarify interactive processes in the sense modality of touch. Task demands require interactive processes that are a combination of thought, movement and hand actions to produce the required response. Although tactile sensations are perceived during contact, lateralization and ability of the hand is reflected in the nature of the grip and force applied to the object by its fingers. The problem of producing devices that function like the human hand is mixed with challenges and insights. Since haptics has recently become important in robotics the results of such human-centered studies could be revealing.The author confirms being the sole contributor of this work and approved it for publication.The author declares that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Biometrics has become an emerging field of technology due to its intrinsic security features concerning the identification of individuals by means of measurable biological characteristics. Two of the most promising biometric modalities are iris and retina recognition, which primarily use nonionizing radiation in the infrared region. Illumination of the eye is achieved by infrared light emitting diodes (LEDs). Even if few LED sources are capable of causing direct eye damage as they emit incoherent light, there is a growing concern about the possible use of LED arrays that might pose a potential threat. Exposure to intense coherent infrared radiation has been proven to have significant effects on living tissues. The purpose of this study is to explore the biological effects arising from exposing the eye to near infrared radiation with reference to international legislation."}
+{"text": "The purpose of the data presented in this article is to use it in ex post estimations of interest rate decisions by the European Central Bank (ECB), as it is done by Bletzinger and Wieland (2017) Specifications TableValue of the data\u2022Real-time data of key macroeconomic variables of the euro area which allows an empirical assessment of monetary policy decisions based on data available to policy makers at the time of the decision.\u2022Data is not distorted by later revisions based on hindsight information.\u2022Either the raw data or the constructed data are constant-horizon forecasts of macroeconomic variables which allows an assessment of forward-looking monetary policy decisions.\u2022Two different sources to construct the same set of forecast variables allows to check which data performs better in empirical assessments of policy decisions.1Bletzinger and Wieland 2One important aspect of the analysis by Bletzinger and Wieland The benchmark model in Bletzinger and Wieland The alternative model of Bletzinger and Wieland The full dataset containing the final data for the interest rate, inflation rate (SPF and ECB staff), real output growth rate (SPF and ECB staff) and potential output growth rate which are used in the estimation of Bletzinger and Wieland The projection exercises in Bletzinger and Wieland"}
+{"text": "To our knowledge, this is the first case of an arterial bleeding as a late complication 3 months after nephron sparing surgery of renal cell cancer, presumably originating from an arteriocalyceal fistula. Superselective embolization of the feeding arterial branch was chosen for treatment of the hemorrhage and proved successful. The high efficacy of superselective embolization as a minimally invasive procedure in this and other cases of bleeding Vessels should be the preferred method instead of open surgery."}
+{"text": "The development of durable ventricular assist devices (VADs) has improved mortality rates and quality of life in patients with end stage heart failure. While the use of VADs has increased dramatically in recent years, there is limited experience with VAD implantation in patients with complex congenital heart disease (CHD), despite the fact that the number of patients with end stage CHD has grown due to improvements in surgical and medical care. VAD use has been limited in patients with CHD and end stage heart failure due to anatomic and physiologic constraints (diastolic dysfunction). The total artificial heart (TAH), which has right and left sided pumps that can be arranged in a variety of orientations, can accommodate the anatomic variation present in CHD patients. This review provides an overview of the potential use of the TAH in patients with CHD. Ventricular assist devices (VADs) have been shown to improve mortality and quality of life in adults with refractory heart failure. This has led to a dramatic increase in VAD use among adults over the last decade , AbioCor , and CARMAT . The history of these devices and their clinical use has recently been reviewed was developed for use in adults with end-stage heart failure who had a contraindication to LVAD or biventricular VAD (BiVAD) or congenitally corrected transposition of the great arteries (ccTGA) carry a life-long risk of systemic right ventricular dysfunction but does so with a low CVP, something rarely seen with VADs or even early after transplantation. It is this immediate improvement in cardiac output in the environment of a decongested venous system that may allow recovery of renal and adolescents who are too small for the 70 cc TAH. Syncardia\u00ae has now developed a 50 cc pump which is 30% smaller by volume and is now enrolling children and adults in a bridge to transplant clinical study Figure . The stuThe last few decades have seen a dramatic improvement in clinical outcomes among patients with CHD. These improvements are most pronounced in young children and those with severe CHD (Moons et al., CV provided conception/design of the review, contributed to critical drafting and revision of the manuscript and provided final approval for the manuscript. DM provided conception/design of the review, contributed to critical drafting and revision of the manuscript and provided final approval for the manuscript.DM has served as a consultant for Syncardia. DM is also a consultant for HeartWare and Berlin Heart.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "There is an error in the last sentence of the Results section. The correct sentence is: Although PTSD was not significantly associated with injury group in the overall models, early amputation had a statistically significant reduction in the likelihood of PTSD relative to limb salvage only during the first year after injury."}
+{"text": "This data article represents academic performances of undergraduate students in a select Nigerian Private Tertiary institution from 2008 to 2013. The 2413 dataset categorizes students with respect to their origins (ethnicity), pre-university admission scores and Cumulative Grade Point Averages earned at the end of their study at the university. We present a descriptive statistics showing mean, median, mode, maximum, minimum, range, standard deviation and variance in the performances of these students and a boxplot representation of the performances of these students with respect to their origins. Specifications TableValue of the data\u2022The data provided will shed more light on students learning outcomes based on ethnicity; by providing sample data reflecting students\u2019 academic performance based on ethnic groups.\u2022The data will provide empirical evidence confirming or refuting the impact of culture on students learning outcomes \u2022The data will be useful to advise education stakeholders in Nigeria and West Africa on the influence of ethnicity on students learning outcomes.1The data presents a sample of students with respect to their origins from the six (6) geopolitical zones as identified by 2The data was retrieved from the department of records and the Center for systems and information services at Covenant University."}
+{"text": "In this study, we describe an fMRI version of the verbal fluency test. This is the second in a series of fMRI adaptations of classical neuropsychological tests, for which normative samples of functional activation have been collected from unimpaired control subjects and structured in a manner that makes individual patient evaluation possible in terms of familiar z-score distributions. This fMRI protocol is shown to have strong convergent validity with the FAS phonemic fluency test and to elicit activation patterns highly consistent with a large body of previous neuroimaging studies of verbal fluency. We also present a case study, in which we report concurrent data from a patient with selective deficits in verbal processing, using both conventional neuropsychological and fMRI approaches. These analyses reveal striking correspondences between the deficits present in this patient on cognitive performance tests and the equally selective patterns of deviation present in his fMRI data."}
+{"text": "The anorexia of aging was first recognized as a physiological syndrome 30 years ago. Its major causes are an alteration in fundal compliance with an increase in antral stretch and enhanced cholecystokinin activity leading to increased satiation.This anorexia leads to weight loss in aging persons and is one of the component causes of the aging related sarcopenia. This physiological anorexia also increases the risk of more severe anorexia when an older person has an increase in inflammatory cytokines such as occurs when they have an illness. This results in an increase in the anorexia due to cachexia in older persons. Anorexia is an important component of the cachexia syndromeFigureThe physiological anorexia of ageing places the older person at increased risk of severe anorexia and weight loss when they develop an illness associated with an increased in inflammatory cytokines or an increase in tumours producing lactate.The central regulation of feeding is a very complicated process.Sarcopenia is defined as the decline in function due to the loss of muscle mass.Persons with the anorexia of ageing are at risk of developing severe anorexia when exposed to high levels of inflammatory cytokines as occurs in the anorexia\u2013cachexia syndrome.The data presented here support the concept that the anorexia of ageing is a major risk factor for older persons developing sarcopenia and/or cachexia. In addition, weight loss together with sarcopenia are major causes of the physical frailty syndrome.The author has no conflict of interest regarding this work."}
+{"text": "Postoperative pseudoaneurysm formation is one of the most feared complications of pancreatic leak following pancreaticoduodenectomy (PD). Surgical repair may be compromised due to a persistent enzymatic insult on the repaired vessel; therefore, preventive measures should be adopted. We report a case of ruptured hepatic artery pseudoaneurysm occurring 12 days following PD in a patient with a postoperative pancreatic fistula. Emergency surgery revealed that the pseudoaneurysm was situated at the point of surgical transfixation of the gastroduodenal artery. The pseudoaneurysm was successfully managed by under-running of the bleeding point combined with the direct application of hemostatic products to the bleeding surface (TachoSil and Tisseel to act as a barrier from the pancreatic secretions."}
+{"text": "Volume transmission (VT) is the diffusion through the brain extracellular fluid of neurotransmitters released at points that may be remote from the target cells with the resulting activation of extrasynaptic receptors. VT appears to play multiple roles in the brain in normal and abnormal activity, brain plasticity and drug actions. The relevance of VT to pain perception has been explored in this review."}
+{"text": "To characterize the velocity slip at the fibrous porous media, data on the anisotropic slip length has been fully analyzed through direct simulations for various geometrical aspects of fiber architecture [2] ). This data article provides detailed slip lengths and slip coefficients in dimensionless form as a function of various geometrical parameters of fibrous porous media including the fiber volume fraction, the dimensionless void length and the normalized permeability. The data is presented for three different fiber packing structures in both the fiber and normal to fiber directions. Finally a set of curves from the complete fitted equation set are also provided in a single figure that can be used to estimate the slip length and the normalized permeability for a given fibrous porous media. Specifications TableValue of the data\u2022The data provided herein can be used to demonstrate the anisotropic interfacial slip in fibrous porous media in liquid composite molding.\u2022The data provided here can be used to obtain two important characteristic parameters for flows in fibrous porous media: the anisotropic normalized permeability and the anisotropic interfacial slip length (or slip coefficients).\u2022The data provided here can be used to construct the slip length tensor of the Navier-slip model, which replaces actual corrugated fibrous surfaces by an effective smooth boundary at the interface between fibrous porous media and fluid.\u20221\u22121] of Beavers and Joseph 2]. For the quadrilateral packing structure, Data in this article provides the dimensionless slip length f fibers . The fib d*=d/L1 , and the2Pressure-driven channel flows between a no-slip wall on the top and a fibrous porous media on the bottom were solved to estimate the slip length and slip coefficient, which is the most important parameter in describing flows within the dual-scale porous media. The Navier\u2013Stokes equation is solved for the two problems: one is the computational solution for the actual fiber arrangement on the bottom and the other is the analytical solution with the effective slip boundary condition on the bottom. The slip length and slip coefficient can be evaluated by comparison of the two solutions. Extensive numerical simulations were performed to obtain the slip coefficient in the longitudinal (fiber) and transverse directions are presented as a function of various geometrical parameters of fibrous porous media including the fiber packing structure, the fiber volume fraction, the dimensionless void length and the normalized permeability. By the mesh refinement study, the accuracy more than three significant digits were ensured in estimating the slip length and slip coefficient. The three different fiber packing structures are presented in As was discussed in Ref. From the data on the slip length and slip coefficient presented in The normalized permeability in both directions can be fitted also as follows:In the above equations, the symbols"}
+{"text": "Vetiveria zizanioides) growing on an abandoned terrace slopes in Spain. The results comprise tables showing the resistance of each tested vetiver plant to pullout forces applied to it at various angles. The dataset also contains the measurements of the displacement at each pullout force increment. The dataset also includes the plots of the pullout resistance of each vetiver plant against the measured displacement.The data set presented in this article includes the results of pullout tests carried out on vetiver grass ( Specifications TableValue of the data\u2022This data set provides an insight into the behavior of vetiver grass grown in semi-arid climate during potential erosion or shallow landslide event\u2022This data set can be used to develop a reinforcement models for vegetated soils\u2022This data set can be combined with published data on root distribution of vetiver to derive the strength that vetiver root systems can impart on soil\u2022This data set can be combined with published data on above-ground vetiver plant morphology to derive the sediment retention capacity of vetiver plants\u2022This dataset can serve as a benchmark for measurement and presentation of parameters required for derivation of root reinforcement models and soil-root interaction1Vetiveria zizanioides) growing on row on an abandoned terrace slopes in Spain is shown on The data set of the results of pullout tests carried out on vetiver grass (2In order to investigate the pullout resistance of vetiver grass, 24 plants were randomly chosen from a plantation on an abandoned terrace near Almudaina, Spain and were used as a test sample"}
+{"text": "Dopamine neurons of the substantia nigra compacta (SNc) and ventral tegmental area (VTA) are critical components of the neuronal machinery to control emotion and movement in mammals. The slow and gradual death of these neurons as seen in Parkinson's disease has triggered a large investment in research toward unraveling the molecular determinants that are used to generate these neurons and to get an insight in their apparent selective vulnerability. Here, I set out to summarize the current view on the molecular distinctions that exist within this mesodiencephalic dopamine (mdDA) system and elaborate on the molecular programming that is responsible for creating such diversity. Regulation of behavior and more specific emotion is critically regulated by dopaminergic neurons located in the mesodiencephalon. These dopaminergic (DA) neurons can be sub-classified within their own groups by specific molecular features to follow the developmental trajectory enriched in the SNc of the mdDA population, were it was proposed to have a major function in local retinoic acid synthesis and was suggested to play a role in disulfiram (Antabuse) induced neurotoxicity leading to parkinsonism and catatonia , also known as paternal expressed gene 1(Peg1), is a is a member of the divergent alpha-beta hydrolase protein family. In the liver, Mest inhibits Lrp6 glycosylation through enhancing ubiquitination of beta-catenin and therefore is able to regulate balancing of canonical and non-canonical Wnt signaling (Jung et al., Based on initial gene expression comparison studies performed on human PD patients and controls, NeuroD6 was identified to be enriched in VTA neurons (Chung et al., The first data that hinted toward subset specific molecular coding involved in the generation of mdDA neuronal subsets was published at least a decade ago (Smidt et al., The author confirms being the sole contributor of this work and approved it for publication.The author declares that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "We report on a patient with visual agnosia for line drawings and silhouette pictures following cerebral infarction in the region of the right posterior cerebral artery. The patient retained the ability to recognize real objects and their photographs, and could precisely copy line drawings of objects that she could not name. This case report highlights the importance of clinicians and researchers paying special attention to avoid overlooking agnosia in such cases. The factors that lead to problems in the identification of stimuli other than real objects in agnosic cases are discussed."}
+{"text": "Although the semantic memory impairment has been largely documented in Alzheimer's disease, little is known about semantic memory in the preclinical phase of the disease (Mild Cognitive Impairment). The purpose of this study was to document the nature of semantic breakdown using a battery of tests assessing different aspects of conceptual knowledge: knowledge about common objects, famous people and famous public events. Results indicate that all domains of semantic memory were impaired in MCI individuals but knowledge about famous people and famous events was affected to a greater extent than knowledge about objects. This pattern of results suggests that conceptual entities with distinctive and unique properties may be more prone to semantic breakdown in MCI. In summary, results of this study support the view that genuine semantic deficits are present in MCI. It could be useful to investigate the etiological outcome of patients failing or succeeding at such tests."}
+{"text": "Current treatment options for men with early localized prostate cancer are either some form of radical therapy or active surveillance. Radical therapy is usually associated with significant adverse effects that might jeopardize a man's quality of life. Some observers believe that PSA screening has resulted in the over diagnosis and over treatment of prostate cancer. Many men are being diagnosed with an early stage, small volume, unifocal or unilateral prostate cancer but are reluctant to accept watchful waiting or active surveillance. Focal cryoablation is the less than complete ablation of the gland with ice. Based on review of the limited amount of material available in the current literature, focal cryoablation can provide acceptable cancer control while preserving sexual potency and urinary continence. Focal cryoablation may fill a void in the therapeutic options available to patients with unifocal or unilateral prostate cancer who have a strong desire to maintain their quality of life."}
+{"text": "Now, VariZIG is also available from a second distributor .In July 2013, CDC published updated recommendations for the use of VariZIG for postexposure prophylaxis of varicella for persons at high risk for severe disease who lack evidence of immunity to varicella and for whom varicella vaccine is contraindicated ("}
+{"text": "The \u201cpsychic tonus\u201d model or PTM [1] of hemispheric specialization states that the left hemisphere is a psychic and behavioral activator and that the right hemisphere is an inhibitor. The PTM predicts that the tonus of visual representation ought to manifest hemispheric specialization in the occipital lobes. Specifically PTM predicts that pathological positive visual tonus ought to be associated more frequently with right occipital lesions. PTM also predicts that pathological negative visual tonus ought to result more often from left occipital lesions. We reviewed 78 cases of post lesion hallucination and 12 cases of post lesion loss of evocation of images, all following a unilateral lesion. Analyses of these relevant previously published cases support the predictions. In accordance with previously published demonstrations of hemispheric specialization for auditory tonus in the temporal lobes and for somesthetic tonus in the parietal lobes, the present findings extend the psychic tonus model of hemispheric specialization to vision in the occipital lobes."}
+{"text": "In B\u00e6rentsen , variousAs indicated by Patanjali, there are types of mental fluctuations that one has to overcome to reach a stable meditative state (which are discussed in detail elsewhere; Woods, The various techniques and modalities of meditation suggested in the respective traditions involve clearing out the fluctuations caused by numerous faculties. A deeper insight into various types and stages associated with each of these techniques reveal that each different type of meditation involves a process to reduce any of the noise components and gradually takes through different stages of evolvement to reach the same and ultimate experiential state Woods, . Such anThe dynamics of how an individual responds and benefits from meditation practice depends on his current evolutionary state which is driven by both the inherent and acquired personality traits and external influences etc. (Fingelkurts et al., From this viewpoint, all the data emerging from different studies on meditation are essentially indicating various levels and extent of noise. That is the reason why each type of meditation involves different levels of coherence and neural patterns (Travis et al., JR came up with an idea to write comments and extend the original article. Both JR and SR analyzed and wrote the article.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "None of the authors have any commercial associations or financial disclosures that might pose or create a conflict of interest.We describe a simple technique for excision of rhinophyma using equipment found commonly in theatre. The nose is infiltrated with lignocaine and adrenaline, and a colposcopic loop electrode is used to shave excess tissue in smooth planes while providing simultaneous haemostasis. The burr is then used to soften the nasal contours into the desired appearance. Additional haemostasis is performed with loop diathermy before the wound is dressed.Excision of rhinophyma is typically a bloody and time consuming affair. Our technique creates a smoothly contoured appearance and simultaneous haemostasis with only a few passes of the loop cautery tip."}
+{"text": "This letter is written in response to a review recently published in the journal. The aim is to highlight a potential methodological limitation common to many studies comparing bipolar patients with few previous episodes versus those with multiple episodes, and in which the results are interpreted as indicating the longitudinal course of the illness. Dear Editor,We read with great interest the recently published review by Joyce et al. entitledIn addition to the limitations described very accurately in the review, we would like to highlight an unconsidered aspect that could be critical for interpreting the results. BD is a very heterogeneous illness in terms of severity, with some patients experiencing a few recurrences and complete functional recovery throughout their lifespan and others showing multiple episodes and marked functional impairment despite treatment (Goodwin and Jamison Joyce et al. proposedClinical staging and neuroprogression proposed for BD are very attractive and potentially useful models (Berk et al."}
+{"text": "Asymptomatic hematuria is very common in pediatric and adolescent patients. In contrast to painless hematuria in adults, the differential diagnosis and investigative modalities in the pediatric population is vastly different. This article presents the major diseases that may cause hematuria in children and suggests an evaluation algorithm for the pediatric urologist."}
+{"text": "Salmonella enterica serovar Typhimurium is one of the most common isolated serovars. Here, we reported the draft genomes of 40 S.\u00a0Typhimurium strains isolated from humans and food in Brazil. These draft genomes will improve phylogenetic analysis and will help enhance our understanding of strains of this serovar isolated in Brazil.Salmonellosis is an important health problem worldwide and Salmonella enterica is recognized as one of the most common pathogen causes of foodborne disease worldwide . The numSalmonella Typhimurium strains isolated from humans and food in Brazil. It will also provide phylogenetic insights into their evolution. A more detailed report of these genomic features will be addressed in a future publication.The data provided will help in understanding the molecular epidemiology of Salmonella Typhimurium isolates are available in GenBank and are listed in The draft genome sequences for these 40"}
+{"text": "Vsto vesicles of blood transfusions have been shown to deliver glycosylphosphatidylinositol-linked proteins to recipient erythrocytes, to display prothrombotic activity, and to have an inhibitory effect on macrophages. The interaction of Vsto vesicles with and their effect on neutrophilic granulocytes has not yet been studied in detail. Fluorescentlylabeled Vsto and calcium-induced vesicles were preparedin order to study the uptake of labeled vesicular components by neutrophils as compared to the process of phagocytosis of zymosan using flow cytometry and confocal microscopy. The activating effect of Vsto vesicles on neutrophils was addressed by a luminometric assay for stimulated radical oxygen species (ROS) generation. Coincubation of vesicles and neutrophils results in a transfer of vesicular components to the cells. This uptake is different from a phagocytotic process and is enhanced upon interference with the cellular actin cytoskeleton. Preincubation of neutrophils with Vsto vesicles results in an enhanced ROS generation by neutrophils, which is further increased upon fMLP stimulation and during zymosan phagocytosis. The activating effect of Vsto vesicles on neutrophils might be due to the specific accumulation of lysophospholipidsin Vsto vesicles and should be considered as a possible contributor to the pathogenesis of transfusion-related acute lung injury.Erythrocytes are known to shed vesicles"}
+{"text": "It is possible to modulate the amount of AL loaded into the nanospheres up to a maximum value of about 17 wt %. In vitro tests were performed using a human osteosarcoma cell line (MG63) and a murine monocyte/macrophage cell line as osteoclast model (RAW 264.7). The results indicate that even the lower concentration of alendronate provokes decreased tumor cell viability, and that osteoclast activity exhibits an alendronate dose-dependent inhibition. The data suggest that nMBG can act as a suitable support for the local delivery of alendronate, and that the antiresorptive and antitumor properties of the functionalized mesoporous nanospheres can be modulated by varying the amount of alendronate loading.In this work we synthesized mesoporous bioactive glass nanospheres (nMBG) with the aim to utilize them as substrates for loading one of the most potent amino-bisphosphonates, alendronate (AL). The results of the chemical and structural characterization show that the nMBG display a relatively high surface area (528 m In detail, Oscar is an OCLs\u2019 associated receptor, its expression follows TRAP during osteoclasts differentiation ; CtsK isin vitro tests prove that the proposed multifunctional system is a promising platform for controlled regulation of osteosarcoma cells and osteoclast activity, providing a new tool for OS treatment.The approach developed in this study allows mesoporous bioglass nanospheres to be loaded with increasing amounts of alendronate up to about 17 wt % and yields materials where the ability to promote mineralization of the nanospheres is coupled with the antiresorptive and anticancer properties of alendronate. The results of"}
+{"text": "The European Society for the Study of Tourette syndrome (ESSTS) was established in Denmark in 2000 by Mary Robertson and Anne Korsgaard. The aims of the organisation are to foster research activity and raise awareness of Tourette syndrome throughout Europe. The organisation went into abeyance in 2002 but was resurrected in 2007 in Bari, Italy. Since that time ESSTS has grown and prospered. We have established elected officers and a constitution. We have successfully applied for three large scale European research grants and have members throughout the European Union. We have held yearly meetings across Europe including two training schools and we have developed successful alliances with patient support groups. ESSTS has developed and published the first European guidelines on assessment, diagnosis and treatment of Tourette syndrome."}
+{"text": "Sexual health is an important global public health concern. Planning effective strategies to improve sexual health requires a high degree of attention to the local epidemiological trends and cultural context where the strategy is to be implemented. The paper by Chemtob et al. describes the process to develop a plan that aims to reduce the burden of Sexually Transmitted Infections in Israel by 2025. This commentary argues that increased attention to planning and implementation of sexual health policy is required in order to address the real burden of disease. Sexual health should not be merely addressed from a communicable disease control perspective but should comprehensively address health and wellbeing of all population groups through a positive approach in line with the WHO current definition of sexual health. As even traditionally culturally conservative societies are experiencing rapid changes in attitudes and practices towards sexual lifestyles, the challenge is to ensure that sexual health strategies combine evidence-informed measures and good practices with culturally appropriate communication and implementation approaches. The paper by Chemtob and colleagues \u201cA natioThe authors clearly demonstrate the large variation in reported epidemiology and practice that exists between countries in Europe pointing to the need for a more robust evidence base for policy making in the area of sexual health. They rightly highlight the issue of underreporting which may be a key factor explaining the degree of variation observed and reach the conclusion that different approaches to better capture the real epidemiological situation are necessary.Estimation of the burden of STIsThe paper focusses primarily on estimation of the burden of STIs, screening for STIs and implementation of strategies to reduce the burden of STIs.Various countries have different systems of collection of data. This is essential for each individual country to have a good picture of trends in order to have a clear picture of the situation including the risk groups to be targeted as well as monitoring of progress being made. Robust and reliable surveillance systems are critical in order to inform relevant stakeholders in an accurate and timely fashion. The epidemiology of STIs including HIV is constantly evolving and information on new cases, routes of transmission and patient outcomes are important needed to monitor the epidemiology of infection. Surveillance systems therefore need to keep pace with the changing nature of epidemics at national and European levels.Passive surveillance, which collects information from laboratories, clinics and STI control programmes and serviceBehavioural surveillance collects data from behaviours of specific target groupsSentinel which identify specific centres and they report on their practice eg that seen in GermanyPeriodic cross sectional surveysThere are various forms of surveillance systems for STIs which include:In many countries, the number of reported STIs represent only the \u201ctip of the iceberg\u201d for various reasons. The commonest reason is because most infections are asymptomatic or else they are not diagnosed. There could also be unreported symptomatic cases due to stigma and discrimination, fear of potential conflict with sexual partner especially in the married group, self-prescription of medicines from pharmacies or empirical treatment in the community. Many countries have legal frameworks which mandate notification by doctors to notify cases of infectious diseases. Some countries also have a legal obligation for the notification of positive samples from laboratories .Screening of STIsUnderreporting for STIs can be tackled through the development of a sentinel surveillance system focusing on a selected primary care doctors who will report on the cases they see in their practice and this is extrapolated to the general population. Enhanced surveillance of STI in Europe is essential to outline the distribution of disease and evaluate the public health response to control the transmission of infections . The EurImplementation of strategies to reduce the burden of STIsScreening individuals to determine if they have been infected with or exposed to an infectious disease is a core public health strategy. Early identification of cases and early linkage to treatment has important public health benefits. In the area of STIs, early treatment reduces the risks of transmission to others and also reduces the risks to health of the patient including long term effects such as infertility. Early diagnosis for HIV and linkage to care through a treat all approach is one of the UN targets for ending HIV/ AIDS. Routine, voluntary HIV testing benefits both affected individuals and their intimate partners by facilitating early access to prevention, care and treatment services.A comprehensive approach to disease prevention, testing and care is a basic public health strategy. The European Centre for Disease Prevention and Control commissioned a project with the aim of increasing the understanding of how HIV and STI can be prevented among vulnerable groups in the broader context of sexual health and health promotion . The maiThis paper by Chemtob et al. outlines the components of the Israeli strategy to control STIs. The strategy covered the main aspects which are evidence based. One crucial element in strategy formulation is the identification of vulnerable groups based on the national epidemiology of the people being affected. Combination STI and HIV prevention measures are more cost effective if taken through a comprehensive approach.The focus on social determinants of sexual health is unfortunately a missing element in many strategies. Yet social determinants have an impact on health of vulnerable populations. Such groups may have barriers such as preventing high risk individuals from accessing services offering preventive services. These barriers include national legislation such as laws governing sexual conduct. One of these laws includes age of sexual consent which affects the age of first start of sexual encounters. Sex between same gender sex is now legal in several countries and so no legal barriers are identified in this area. Accessibility of service provision and fear of stigma and marginalisation are other reasons which may keep persons from coming forward to access services.This paper has a second important contribution. It raises the issue of different epidemiological patterns between religious groups. As societies in Europe and elsewhere become more ethnically heterogenous due to increased migration, the way in which these demographic changes affect sexual lifestyles needs to be taken into account in planning sexual health policy.The authors place a specific emphasis on groups at risk such as men who have sex with men (MSM) and commercial sex workers. However, the wider implications of changing sexual attitudes and practices amongst the general population are somewhat overlooked. The importance of regular population surveys complemented by in-depth qualitative research with specific groups needs to be given more importance. The value of the numbers and trends of STIs achieved through passive and active surveillance needs to be placed in the broader context and narrative of societal attitudes and practices. These are often difficult to extract and confront in conservative and religious countries. Yet, evidence points towards rapid societal change leading to fast changing sexual health practices. These are often least well addressed by those countries not typically used to dealing with such a situation and the Israeli approach is to be commended in this regard.In 2016 the World Health Organisation published its strategy on Sexually Transmitted Infections (STIs) for the period 2016\u20132021 . This isHowever if each country takes steps to define the specific populations that are most affected by sexually transmitted infection epidemics including populations most likely to have a high number of sex partners, such as sex workers and their clients as well as other populations such as men who have sex with men, transgendered people, and people with an existing sexually transmitted infection, including people living with HIV this is a good start. Other groups considered to be particularly vulnerable to sexually transmitted infections include young people and adolescents, women, mobile populations, children and young people living on the street, prisoners, drug users and people affected by conflict and civil unrest.In our view, the key element to ensure success in addressing sexual health at country level is that the response is one which is firmly rooted in epidemiological evidence but which gives due attention to the social context. Planning and implementing sexual health strategies is a challenging policy area for public health. The rising trends in STIs combined with rapidly changing societal norms and sexual lifestyles and practices make the need to address sexual health at both individual and population levels an urgent one. Public health professionals and policy makers need to use the whole array of health promotion tools ranging from legislation, effective communication, empowerment of individuals and communities as well as strengthening health services in order to make positive progress to improve sexual health and well-being."}
+{"text": "The impact of type 2 diabetes on ageing societies is great and populations across the globe are becoming more diverse. Complications of diabetes unequally affect particular groups in the UK older people, and people with a South Asian background are two population groups with increased risk whose numbers will grow in the future. We explored the evidence about diabetes care for older people with South Asian ethnicity to understand the contexts and mechanisms behind interventions to reduce inequalities. We used a realist approach to review the literature, mapped the main areas where relevant evidence exists, and explored the concepts and mechanisms which underpinned interventions. From this we constructed a theoretical framework for a programme of research and put forward suggestions for what our analysis might mean to providers, researchers, and policy makers. Broad themes of cultural competency; comorbidities and stratification; and access emerged as mid-level mechanisms which have individualised, culturally intelligent, and ethical care at their heart and through which inequalities can be addressed. These provide a theoretical framework for future research to advance knowledge about concordance; culturally meaningful measures of depression and cognitive impairment; and care planning in different contexts which support effective diabetes care for aging and diverse populations. Although longevity in the UK is increasing, average increases mask important differences within the population \u20133. FurthThe purpose of this research was to review the evidence to guide a programme of applied research to address the key areas and processes for reducing inequalities in diabetes care for older people from ethnic minority groups. We focussed in this instance on South Asians in the UK as this group has an established history in the UK (making up fifty percent or more of the population in some UK locations) and so would be likely to feature in the relevant research literature.We define ethnicity as a consciousness of belonging to a particular group based on commonality of family origin and culture of shared values and beliefs which is socially constructed and loosThe term \u201colder people\u201d is used variously according to context and different age-related dimensions: chronological, biological, functional, psychological, and social. In western societies, it broadly aligns with age of retirement 60 or 65+ , 8 but tThis study's principal interest was diabetes care and prevention in relation to inequality, ethnicity, and the older population rather than the aetiology of diabetes per se, although this was necessarily touched on where it related to clinical practice and management of older people who are living with diabetes. Diabetes care in the UK is a context specific and complex activity because it takes place across NHS settings through consultations in primary and secondary care and in people's home through self-management and care support.Inequality was the main lens through which the literature review was conducted. The starting point was that our previous research in related areas had found inadequate care of older people with diabetes particularly those being cared for in residential settings ; that prAlthough familiar with some of the concepts associated with reducing inequalities in access to diabetes care, such as cultural competency and concordance , we had The review had two parts: Part 1, a mapping phase where we thematically synthesised the relevant studies into the main areas of research evidence; and Part 2, a theory building phase where we hypothesised, by abstracting from the evidence, a theoretical framework for moving forward from this base. As the work was early stage the emergent theory raised further questions which will help test and refine the theory in the future. As it stands however the review highlights a number of issues for policy makers, providers, and researchers concerned with reducing and preventing inequalities in diabetes care and these are summarised at the end of this paper.We reviewed literature at the intersection of three areas: quality diabetes care, older people, and ethnicity see . The revFollowing an initial exploratory phase we decided to apply a realist approach to review the literature. This methodology was considered the most appropriate because it accommodated the broad research question; was compatible with the complex and context related nature of diabetes care; was sympathetic to the usage of a multimethod, multidisciplinary evidence base; and would facilitate the exposition of theory through emerging and generalisable mechanisms . This coThe search would be limited to the previous 30-year timeframe and to studies from the UK. The period 1985 to 2015 spanned several changes of UK governing parties and associated health policies some of which addressed health inequalities in relation to diabetes care, the impact of which would be captured in literature published during this time.The search would focus specifically on the UK population. Ethnic minorities and health systems are different in different countries and diabetes care is context related. Literature on ethnicity, access, and cultural competency from other countries such as the US, Canada, and Australia was drawn on where appropriate in the analysis and discussion of mechanisms.The search would focus on the UKs' South Asian population rather than other or all ethnic minorities living in the UK. Previous research by members of the team provided insight into some of the inequalities that people with a South Asian background experience . As thesThe search would use common age descriptors for older people as well as specific age categories from 55 years upwards. In the context of diabetes and care for minority groups age as a descriptor could be relative and variable depending on the population and phase of care .The search would use descriptors for diabetes that included the key complications: diabetic neuropathy, retinopathy, and nephropathy. Terms for the latter would be expanded as studies of diabetic nephropathy and end stage kidney disease would be likely to include the older South Asian population because of the links between ethnicity, diabetes, chronic kidney disease, and longevity , 15.The search would be inclusive of research using qualitative and quantitative methods as well as grey literature in line with the realist methodology to prioritise relevance and contribution to theory building . The quaWe conducted an initial scoping phase in which we hand-searched for research publications and tested different search strategies with available electronic databases. We made a number of decisions about the search strategy which are listed as follows:A combination of hand searching and electronic searching of publication databases was carried out.\u2009\u2217 OR hypoglycem\u2217 OR non insulin dependent diabetes mellitus OR NIDDM OR insulin OR insulin resistance OR glucose level OR glucose regulation OR haemoglobin A1c OR HbA1C OR metabol\u2217 OR foot problems OR amputation OR lower extremity OR lower limb OR complications OR nephropathy OR retinopathy OR kidney disease OR chronic kidney disease OR renal OR renal impairment OR kidney damage OR albuminuria OR proteinuria OR microalbuminura OR renal replacement therapy OR CKD OR ESRD OR ESRF OR ESKD OR ESKF OR RRT OR end stage renal disease OR end stage kidney disease OR end stage kidney failure OR end stage renal failure OR dialysis OR primary care AND Older people OR older persons OR elder\u2217 OR old age OR ageing OR aging OR late life OR frail\u2217 OR non frail OR end of life OR geriatrics OR gerontology OR post menopausal OR over 55 years OR over 60 years OR over 65 years OR over 70 years OR over 75 years OR over 80 years OR over 85 years OR over 90 years OR over 95 years OR over 100 years OR end of life OR functional disability OR functional decline OR mortality AND Ethn\u2217 OR race OR culture OR BAME OR BME OR minorit\u2217 OR ethnic minority OR asia\u2217 OR Indoasia\u2217 OR south asia\u2217 OR Indian OR Pakistani OR Bangladeshi OR Sri Lankan OR racial OR black\u2217 OR culturally and linguistically diverse group OR CALDDiabetes OR diabetes mellitus OR type 1 diabetes OR T1DM OR type 2 diabetes OR T2DM OR hyperglycemThe following databases were searched: Academic Search Elite, CINAHL Plus with Full Text, MEDLINE, MEDLINE with Full Text, PsycARTICLES, PsycINFO, SocINDEX with Full Text, and Global Health. Publication abstracts were searched using keyword criteria as follows:Electronic search results were screened for duplication and relevance to the review area and question. Copies of the full publication were obtained for included abstracts which were screened and those considered relevant included in the analysis. This process was conducted by EW and MW jointly, with assistance from an information specialist and with input and oversight from the other members of the author team.The research question \u201cWhat are the key mechanisms for reducing inequalities in diabetes care in the UK for older people with a South Asian background?\u201d was the basis of capturing learning from the published literature. In realist terms it was conceptualised as a complex intervention comprising government policy, applied research, and evidence based practice from the UK which addressed inequalities in diabetes outcomes and care for older people with diabetes from ethnic minorities and spanned the diabetes care system as a whole. We drew on the RAMESES guidance for repo\u2009Part 1: the overview and mapping of literature relevant to the research question and search criteria.\u2009Included studies were analysed thematically into broad areas.\u2009Part 2: the building of a theoretical framework for research in response to the question.\u2009For each mapped area we considered the context, mechanisms, and outcomes and considered how these related to common concepts also emerging from the literature that could be explanatory in terms of observed inequalities in diabetes care and interventions to reduce them see .The realist programme theory developed iteratively through the scoping, mapping, and theory building stages of the literature review and the findings are reported in two parts in The results of the literature search are summarised in Following thematic analysis the included literature was following broad areas.There were very few studies which specifically investigated diabetes, older people, and ethnicity, and even fewer (none) which specifically addressed diabetes care for older South Asian people in the UK. Although studies which included South Asian people with diabetes often stated in their background that diabetes was a leading cause of mortality and morbidity and South Asians were the largest ethnic minority in the UK, the majority of studies identified by our literature search concerned prevalence and incidence of diabetes, diabetes related complications, and associated conditions particularly cardiovascular disease. Exceptions to this were the UK Asian Diabetes Study (UKADS) and the In South Asians, the prevalence of type 2 diabetes is 4 times greater than that of White Europeans . Most ofWhere ethnicity was discussed in relation to inequalities in the research literature it was mainly to explain variations in outcomes or patterns of distribution within a given population and there was a dearth of studies which analysed inequalities as it related to diabetes care specifically for older people with a South Asian ethnic background. There were very few studies about diabetes and diabetes care which explicitly included older South Asian people as participants and a similar number of papers which discussed the lack of participation of older people and ethnic minorities in studies as a research issue , 28.Studies of diabetes which include an analysis by ethnicity invariably noted the earlier onset of diabetes in South Asians compared to White Europeans as an important factor in understanding both aetiology and disease progression as well as indicating a timeframe for intervention and prevention which is different to the majority population. South Asians experience diabetes approximately 10 years before White Europeans and show signs of more rapid progression of complications , 30. ResTogether, key UK government guidelines, the Quality Outcomes Framework and the National Service Frameworks for Diabetes and Kidney Disease, have encouraged GPs to consider ethnicity as a factor for earlier diagnosis and targeted care. These quality initiatives have gone some way to redress inequalities in diabetes care but therSeveral of the studies which detail South Asian ethnicity describe the heterogeneity within the broad South Asian descriptor for the UK's diverse South Asian population and some, depending on the data source, were able to break down their results across the main South Asian groups in the UK . EthniciThe complicating associations between diabetes and cardiovascular disease (CVD) were the subject of over half the studies identified through our electronic search. These were seeking to understand the aetiology of morbidity and mortality of CVD and included diabetes and ethnicity as established risk factors in the analysis . SimilarDifferences in diabetes related mortality and morbidity between different ethnic groups outlined in a small number of publications point to different mechanisms through which ethnicity exerts influence. For example, South Asian and Black groups both have increased risk of diabetes, CVD, and Stroke comparedStudies which focus on diabetic nephropathy show that South Asians also experience complications at an earlier age and their progression is faster than in White Europeans. South Asians' risk of diabetic nephropathy is 13 times that of the White European population . As a grOther diabetes complications, retinopathy and neuropathy, have a similar association with ethnicity; that is, they have been found to be associated with increased risk factors and are As the South Asian population is ageing and as longevity is main risk factor for comorbidities in older people, the incidence of end stage renal failure and dementia are set to increase in South Asian ethnic group . Both thDepression as a comorbid condition for people with diabetes is associated with both increased risk of developing cardiovascular problems as well as being secondary to cardiovascular complications and increasing risk of mortality . It is aIndividualised assessment of need and cultural sensitivity are included within the national service frameworks for diabetes, kidney disease, and care of older people \u201324 as meResearch into the extent of how well healthcare services are able to meet the needs of South Asian people who have diabetes has found that whilst services have implemented the organisational element of quality improvement policy such as the Quality Outcomes Framework and shifts of diabetes care from secondary to primary care they may not have resulted in quality of care from the patient perspective , 57 nor The small number of trials testing culturally appropriate self-management programmes and struPilots of integrated diabetes care such as the North West London Integrated Care Pilot for people over 75 years of age considered ethnicity in their design and analysis , 62. ThePatient experience research with South Asian people with diabetes in primary care identified barriers one of which was a need for information and health education to be delivered in a culturally appropriate way that matches an individual's understanding of health and disease, as well as taking into account the broader social context for ethnic minority groups and common psychological responses \u201368. FindA care pathway approach to exploring patient experience of diabetes care across primary care and specialist renal care found that South Asian patients referred to renal care lacked awareness of kidney complications of diabetes despite familiarity with diabetes over more than 10 years. Furthermore reflecting back on diabetes care patients felt there had been missed opportunities for information and self-management support .The small number of studies of South Asian patients' experiences of care in secondary care kidney services also tells us more about the care of older South Asian people with diabetes as nearly half the South Asian patients requiring renal replacement therapy also have T2DM . CommuniThe exploratory mapping of the literature in this review created a context for the second part of our analysis. Explanatory concepts which emerged from the literature alongside the observational data were cultural stratification and comorbidities, cultural competency, and access. The relationship between these concepts and the CMO analyses in each mapped area is shown in As diabetes complications are associated with longevity and length of time with diabetes as well as South Asian ethnicity, it is common that older South Asian people with diabetes will have multiple comorbidities requiring some sort of prioritisation and integration of treatment and care according to which conditions are of most concern or life limiting. Stratification of patients by risk, comorbidities, patient experience, and diagnosis is therefore a key part of informing effective care , 73 and The fact that South Asian people develop diabetes earlier and experience the complications younger means that in the context of diabetes care the descriptor \u201colder\u201d age needs to be brought forward relative to the White European population. The changing demographics of the UK mean that there will be more older South Asian people in the future and half will have developed diabetes by age 80 .Studies which identified the cardiovascular risk and outcomes associated with diabetes and South Asian ethnicity and the small number breaking it down further into the predominant South Asian groups in the UK provide evidence for the high risk that South Asians with diabetes have for cardiovascular disease mortality and morbidity and persisting inequalities . This fiDetection of prediabetes, incident diabetes, and diabetes complications is important for prevention of the onset and progression of complications through the provision of appropriate and timely care which may need to be more aggressive for South Asians because of the greater risk for cardiovascular complications. Measures to detect complications which are culturally mediated, that is, dependent on language or ideas of dependency and quality of life, such as depression and cognitive impairment, need to be sensitive enough to identify complications in heterogeneous populations , 76.The range of complications which are associated with older age and diabetes may contribute to frailty which results in vulnerability to sudden changes in health states and increased risk of falls, disability, long term care, and death . A recogResearch Question. How can knowledge about diabetes comorbidities and associated impacts for older people with a South Asian background improve care that maximises quality of life and NHS resources?Whereas stratification on the basis of disease, comorbidities, and symptoms dictates the context for clinical care, the way that information is conveyed and discussed to people with diabetes is important for supporting self-management and decision making in patient care.Understanding the importance of social and cultural influences on patients' health beliefs, and behaviours; considering how these factors interact at multiple levels of the health care delivery system ; and finally, devising interventions that take these issues into account to assure quality health care delivery to diverse patient populations. Research which investigated ethnicity and quality of diabetes care in South Asian patients in primary and secondary care identified the importance of individualising care within a culturally competent approach to support concordance in the care process [The opportunities for prevention of diabetes and complications are an important part improving outcomes for older South Asian people with diabetes because of the earlier and extended timeframe that they are living with diabetes. The focus on primary care and integrated care as a means of delivering patient centred outcomes, if supported by systemic knowledge and awareness of culture within the NHS, aligns with the concept of culturally competent care: process . For indTo achieve this one on one with patients requires the resources within the system to be in place and a full understanding of the challenge. The evidence as it stands suggests that although it is possible to target diabetes interventions and makeThe concept of cultural intelligence takes the theory of cultural competency further , 86 by sResearch Question. What are the most effective communication methods for promoting concordance in diabetes care with older people with a South Asian background?A person has access to quality care when the care they experience is meaningful and effective , 88. As Whilst the national quality improvement frameworks for diabetes and kidney services have improved diabetes care in terms of the infrastructure for monitoring in primary care with incentives for practices to do this, the evidence suggests that these do not support access to all aspects of diabetes care and that it can be fragmented and variable for all patients particularly for South Asian groups for whom there can be more barriers \u201391.It has been estimated that a quarter of care home residents are likely to have diabetes and whilOur review of the literature highlights there is a dearth of research studies which have considered access as a collective function of providers within local systems and which include older patient and carer participation in diabetes care at local and individual levels. This is despite the growing awareness of the diabetes epidemic and observations that older age is when cultural differences and sensitivities can be most acutely experienced ; healthcThe prevention imperative to reduce levels of diabetes and complications requires intervention to raise public awareness of the issues of diabetes care for older people from ethnic minority groups and to shift attitudes of patients and clinicians towards a more empowered approach to care Whilst evaluation of on-going programmes such as integrated care initiative, National Diabetes Audit with Patient Experience of Diabetes Services, and House of Care will conResearch Question. What are patients and their informal and formal carers experience of involvement in care planning and how can these inform service improvement for older people living with diabetes who have a South Asian background?Current policy and interventions to reduce inequalities in diabetes care in older people with South Asian ethnicity have not resulted in a knowledge base of what works to reduce complications and the poorer outcomes for this population. This exploratory synthesis of the literature is the first to put forward a theory based framework for doing so.The lack of a body of research evidence which addresses inequality and quality of diabetes care for older South Asian people with diabetes reflects many and complex relationships between diabetes and macro- and microvascular complications; the different settings where care is provided; the lack of specific inclusion of older South Asian people in research; and the heterogeneity within ethnic and age descriptors. Studies which, by default, have included this group highlighted that the ethnic specific and ageing effects of diabetes require further enquiry.Limitations of this review relate to complexity; diffuse literature; a broad research question; and the multidimensional influence of ethnicity and culture on health. We mitigated any shortfalls in capturing relevant literature via electronic databases by hand searching and including grey literature and including broad age descriptors which was in line with the exploratory nature of this study. The realist approach taken helped to expand the knowledge base by identifying common mechanisms across different contexts which together contributed to a theoretical framework for policy, research, and practice.It is both a strength and a limitation that our review was conducted by a team with familiarity with particular areas of the literature, that is, diabetic nephropathy and end stage renal failure in South Asians, and frailty in relation to diabetes and older people. Whilst it helped inform the search strategy and theory building it could constitute bias as published research of inequalities in diabetic kidney disease and kidney care made an important contribution and the subsequent analysis applied some of the concepts from diabetic nephropathy research previously published by two of the authors . To mitiTeam composition comprised public health researchers and senior academics who have been involved in guideline development, some of whom are practicing clinicians, strengthened our analysis and interpretation in policy and practice terms. Theory building from such a broad question and diverse literature base identified mechanisms which were \u201cmid-level,\u201d conceptual, and compatible with a systems viewpoint, and interpretation into practical questions for policy makers, clinicians, and researchers was a useful element of this review see .Although this piece of work was limited to a UK perspective and a focus on one ethnic grouping, the rationale, realist methodology used, and the resulting theoretical framework could equally well be applied to other groups and other diverse populations in other countries. The focus of the review was on understanding the mechanisms which could be useful for reducing inequalities in diabetes care and because the work was exploratory the theoretical ideas are at an early stage and conceptual so also relevant to other health systems.Our theory building went further to identify submechanisms: concordance; the use of culturally meaningful measures for comorbidities affecting older people such as depression and cognitive impairment; and care planning, in particular understanding ways that older people with diabetes can be involved to ensure that it is as person centred as possible. These submechanisms, articulated as future research questions, were at the next level of abstraction from the evidence reviewed. Addressing these will enable us to revisit and refine this early theoretical framework to further improve understanding of how to ensure equitable care at the intersection represented with a \u201c?\u201d in Underpinning individualised care and pertinent to understanding these mechanisms is the ability of the healthcare system to work with the intersectionalities of individuals and groups within a population. The heterogeneity within broad ethnicity and age descriptors is lost in much of the research literature and a more nuanced approach to understanding individual identity and influences on health will be Research with diverse groups of older people and their care providers in different clinical and community settings requires a culturally intelligent approach by researchers , 102. CoIn practice terms too the awareness of multiple identities and individual experiences affecting diabetes care including, but not exclusive to ethnic group and age, requires closer involvement between patients and practitioners in negotiating care in order for it to be truly person centred . AlthougIn a similar way the relevance of this review in policy terms should be seen in the context of other influences on health inequalities, that is, the psychological, sociological, economic, and life course factors , 105. AlThis review has found that there are very few studies which address care of older people with diabetes who have a South Asian background. As policy makers need evidence to help them respond to the changing demographic profile of the UK to commission effective services to prevent avoidable mortality and morbidity and maximise resources, this is an important limitation in the existing evidence base.There is commissioning guidance for diabetes services and integrated care which by default covers care for chronic conditions and older people and points to earlier onset, need for services to consider ethnicity , but it South Asian people experience diabetes earlier than White Europeans and have a greater risk of complications and faster progression so that care providers and patients would benefit from a better informed and targeted approach to intervention.For policy, practice and research to make an impact on reducing inequalities in diabetes care for older people with diverse backgrounds we suggest attention is given to all three of the mid-level mechanisms: access, comorbidities, and stratification and cultural competency.Research that specifically includes older people with a South Asian background would go some way to providing knowledge about the best way to do this.The definition of \u201colder\u201d people needs to be redefined in the context of diabetes care and South Asian ethnicity and the influence of intersectionalities require more attention to understand and apply these mechanisms for reducing inequalities in diabetes care."}
+{"text": "CHDs affect approximately one in 100 births every year in the United States and are the most common type of birth defect .CDC-funded research recently reported associations for certain CHDs in infants of mothers who were exposed to pesticides at work ("}
+{"text": "Renal cell carcinoma (RCC) is comprised of several distinct histologic subtypes many of which have characteristic cytogenetic abnormalities. The molecular pathogenesis of some of these neoplasms is beginning to be elucidated. Yet renal cell carcinoma is often discovered at an advanced clinical stage and effective pharmacologic therapies for this disease remain to be discovered. For these reasons, renal cell carcinoma is ideally suited to the genome scale investigation made possible by DNA microarrays. A number of DNA array studies of renal cell carcinoma have been published. Renal cell carcinomas have also been studied by array based comparative genomic hybridization. The purpose of this review will be to summarize these studies, to compare the results of the different studies, and to suggest future areas of investigation with a particular emphasis on clinically relevant advances."}
+{"text": "The modeling and simulation of Switched Reluctance (SR) machine and drives is challenging for its dual pole salient structure and magnetic saturation. This paper presents the input data in form of experimentally obtained magnetization characteristics. This data was used for computer simulation based model of SR machine, \u201cSelecting Best Interpolation Technique for Simulation Modeling of Switched Reluctance Machine\u201d Specifications TableValue of the Data\u2022Flux data is useful for determination of steady state and transient performance of machines\u2022The presented data is obvious for switched reluctance modeling irrespective of how it is obtained i.e. through experiments or computer softwares.\u2022This data shows evidence of nonlinear characteristics of the machine.\u2022Once having this data, remaining data tables are obtained easily and it is easier to find missing data points by interpolation techniques.\u2022Accurate simulation in different areas relating SR machine is possible with this data if current and torque of the machine counted.1The data of flux linkage presented in this article is useful for modeling and simulation of existing SR machine especially when phase current, and phase instantaneous torque profile of SR machine are discussed. Furthermore; an ample picture of this data in 3-D is given for purpose of illustration.22.1Electrical machines are judged from its electrical and more importantly the magnetic circuit. The data of flux linkage presented in this paper actually epitomizes the magnetic behavior of the existing machine The experiment setup is shown in The obtained data of induced EMF and data of flux after integration is shown in graphical form in Measured data of flux for different current values and different rotor position is graphically represented in Additional data of static torque is also experimentally obtained by locked rotor test by allowing current to flow through motor winding and measuring toque on dynamometer. The set of measured data in graphical representation can be seen from"}
+{"text": "Recognition memory can be supported by both the assessment of the familiarity of an item and by the recollection of the context in which an item was encountered. The neural substrates of these memory processes are controversial. To address these issues we applied repetitive transcranial magnetic stimulation (rTMS) over the right and left dorsolateral prefrontal cortex (DLPFC) of healthy subjects performing a remember/know task. rTMS disrupted familiarity judgments when applied before encoding of stimuli over both right and left DLPFC. rTMS disrupted recollection when applied before encoding of stimuli over the right DLPFC. These findings suggest that the DLPFC plays a critical role in recognition memory based on familiarity as well as recollection."}
+{"text": "We will also discuss how these negative findings can help to design future clinical trial using tDCS to treat individuals with chronic pain.In a recent clinical trial we demonstrated the analgesic effects of anodal transcranial direct current stimulation (tDCS) in patients with spinal cord injury (SCI); however, the positive impact of tDCS on pain was not paralleled by an improvement in quality of life or other related clinical scales. Here we discuss the reasons of such tDCS is an alternative but relevant therapeutic option to manage pain and stimulate motor recovery in patients with SCI. This non-invasive neuromodulation technique has been shown to significantly and sustainably reduce pain if applied repeatedly in various pain syndromes M1 may not be an appropriate target to modulate mood or satisfaction with life; (2) the primary outcome was pain and therefore this study was not designed to specifically detect change in such scales; (3) the SWLS and PHQ-9 may not be accurate or sensitive enough to detect changes due to tDCS treatment.a priori hypothesis and to select the appropriate clinical scale(s) accordingly. A recent framework developed by researchers from National Institute of Mental Health (NIMH), called the research domain criteria (RDoC) is useful for such analysis.Based on the current tDCS literature and the present understanding of pain sensitization mechanisms, the sensorimotor cortex is the most relevant area to target when aiming at treating pain , anodal M1 tDCS has been shown to activate ipsilateral motor areas as well as contralateral or long-distance areas and subcortical areas (anterior cingulate cortex) in healthy controls targeting the same cortical network should be tested in addition to tDCS in order to prime its effects.Regarding the selection of the main outcome measure(s), especially when it concerns clinical scales, it is of an upmost importance to choose a sensitive tool that accurately evaluates the symptoms being treated and/or the mechanisms of the therapy. In our case, the mental states evaluated by the selected scales are unrelated to modulation of the motor cortex excitability. The expected improvements would have been related to the indirect effects of pain relief on patients' quality of life and satisfaction. Despite the fact that many studies have demonstrated a correlation between pain levels and quality of life (Wahl et al., AT and FF: wrote the manuscript. RZ and LM: significantly reviewed the manuscript for intellectual content and approved the final version of the manuscript.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "For humans, activity during the night is correlated with multiple pathologies that may reflect a lack of harmony among components of the circadian system; however, it remains difficult to identify causal links between nocturnal activity and different pathologies based on the data available from epidemiological studies. Animal models that use forced activity or timed sleep deprivation provide evidence of circadian disruptions that may be at the core of the health risks faced by human night and shift workers. One valuable insight from that work is the importance of changes in the distribution of food intake as a cause of metabolic imbalances associated with activity during the natural rest phase. Limitations of those models stem from the use of only nocturnal laboratory rodents and the fact that they do not replicate situations in which humans engage in work with high cognitive demands or engage voluntarily in nocturnal activity . Temporal niche switches by rodents have been observed in the wild and interpreted as adaptive responses to energetic challenges, but possible negative outcomes, similar to those associated with human eveningness, have not been systematically studied. Species in which a proportion of animals shows a switch from a day-active to a night-active when given access to running wheels provide a unique opportunity to model human eveningness in a diurnal rodent. In particular, the mosaic of phases of brain oscillators in night-active grass rats may provide clues about the circadian challenges faced by humans who show voluntary nocturnal wakefulness. Our contemporary global society has created demands that require many of us to be active during the natural rest phase of our species, the night. This is exemplified by increasing number of individuals who work nights and thus are awake and engaged with the environment at least for part of the time normally dominated by human sleep. There is a rich, albeit mostly correlational, literature linking night and shift work to a multitude of pathologies including higher risk of cancer , metabolvia direct retinal projections from melanopsin-containing retinal ganglion cells , 8 that on cells . Outputson cells . Night oon cells , 11. HowAnimal models of shift work have used almost exclusively laboratory rodents is remarkably different if the animals are forcibly kept awake at night compared to when they show unconstrained night wakefulness ] rhythms in the SCN or the nAvailable models using constrained (forced activity and timed sleep deprivation) or unconstrained (wheel running availability) activity during the natural rest phase of a species do not incorporate the effect of the type of engagement with the environment that goes on during the new active phase. In particular, these models do not replicate instances of human nocturnal activity with significant attentional and cognitive demands, e.g., nurses in hospitals or technicians working at nuclear plants. Experiments in which nocturnal laboratory rats are trained and tested during the day on tasks that demand enhanced attentional performance provide evidence of clear circadian effects that include a shift to a predominantly diurnal chronotype with salient anticipatory activity that persists for days after the training is discontinued , 47. ActThe work from our group discussed here was carried out in accordance with the recommendations of the Michigan State University All University Committee on Animal Use and Care, and the National Institute of Health guide for the Care and Use of Laboratory Animals. All protocols were approved by the Michigan State University All University Committee on Animal Use and Care.The ideas presented here stem from discussions among the three authors, AN wrote the first draft and LS and LY edited and expanded the initial version.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "The epigenome is a set of heritable modifications and tags that affect the genome without changing the intrinsic DNA sequence. These marks include DNA methylation, modifications to histone proteins around which DNA is wrapped and expression of noncoding RNA. Alterations in all of these processes have been reported in patients with COPD. In some cases these differences are linked to disease severity and susceptibility and may account for the limited value of genetic studies in COPD. Animal models of COPD suggest that epigenetic modifications and processes are linked to COPD and may be tractable targets for therapeutic intervention"}
+{"text": "We present an overview of the current literature and management techniques for vaginal extrusion or urinary tract erosion of graft materials used in pelvic floor reconstruction. A MEDLINE search was performed to identify literature pertaining to the incidence and management of vaginal or urinary tract exposure of graft materials commonly used in anti-incontinence and pelvic floor reconstructive procedures. Dependent on the type of mesh material used, a vaginal extrusion rate of up to 77% has been reported. The currently accepted, loosely woven, monofilament type I polypropylene meshes appear to have acceptable lower exposure rates in the range of 1\u20133% for slings, but with the larger area of mesh used in prolapse repairs, the rate increases to up to 10%. With the current widespread use of graft materials to reinforce pelvic floor reconstructive techniques, it is imperative for surgeons to be familiar with potential complications related to the materials and proper management of these complications. Although it is beginning to appear that the benefit of using some synthetic materials may outweigh the risks, proper management and understanding of the risks is important in order to counsel our patients appropriately and responsibly prior to their surgeries."}
+{"text": "Viruses are master molecular manipulators, and evolved to thrive and survive in all species. Key to their continuing success has been the ability to subvert host cell defence systems to ensure viral survival, replication and proliferation. Amongst the diverse arsenal of defence mechanisms deployed by multicellular hosts are those that rely on rapid activation of programmed cell death or apoptosis pathways, to trigger premature cell death of infected host cells. Apoptosis of an infected host cell has been identified as a powerful mechanism to curtail viral spread, and consequently, viruses have evolved sophisticated molecular strategies to subvert host cell apoptotic defences.This special issue is devoted to the interplay of viruses and host cell apoptotic signalling pathways. Many viruses manipulate apoptosis for their own purpose, and Zhou et al. review the interplay of viruses with death receptor mediated apoptosis . This coI hope that the research articles and reviews that were assembled for this special issue will shed light for both experts and interested bystanders on the complex and sometimes unexpected interplay between viruses and host cell apoptosis signalling pathways, and inspires researchers to investigate the many unresolved questions about the ways and means utilized by viruses to manipulate life and death of an infected cell."}
+{"text": "Integrating social client relationship management (CRM 2.0) in the built environment can enhance the relationship between construction organizations and client towards sustaining a long and lasting collaboration. The data exploration analyzed the e-readiness of contracting and consulting construction firms in the uptake of CRM 2.0 and the barriers encountered in the adoption of the modern business tool. The targeted organizations consist of seventy five (75) construction businesses operating in Lagos State which were selected from a pool of registered contracting and consulting construction firms using random sampling technique. Descriptive statistics of the e-readiness of contracting and consulting construction firms for CRM 2.0 adoption and barriers limiting its uptake were analyzed. Also, inferential analysis using Mann\u2013Whitney U statistical and independent sample t-test was performed on the dataset obtained. The data generated will support construction firms on the necessity to engage in client social relationship management in ensuring sustainable client relationship management in the built environment. Specifications tableValue of the data\u2022Clients are the most important entity in the construction business, therefore managing their needs is paramount to the success of construction organizations.\u2022The dataset will enable researchers to advance on the subject of social client relationship management in the built environment as there is a dearth of studies in this area as it relate to the construction industry \u2022An understanding of the data when analyzed compared with existing data on client relationship management can help ascertain the sustainable route to managing client relationship in the built environment.\u2022The dataset can help construction stakeholders understand the barriers militating against the uptake of client social relationship management so as to develop a framework that can successfully increase the uptake of ICT tools and other relationship management tools in the built environment.\u2022Clients are the most important entity in the construction business, therefore managing their needs is paramount to the success of construction organizations.1p-value at .40 and .36 which is higher that the alpha value of .05 depicts that there was no significant difference between contracting and consulting firms on barriers militating against the adoption of social media in social client relationship management (CRM 2.0) in their construction business.Social client relationship management (CRM 2.0) is a business strategy that uses internet and social media platforms to enhance traditional, one-dimensional interactions between companies and their existing and potential customers by giving clients greater control over how they communicate with the firms they do business with and providing them with the tools needed to form the foundation of the relationship. In order to measure the relationship management that exist between clients and construction organization, the data exploration covered contractor and consultant construction firm's readiness to uptake social client relationship management (CRM 2.0) in the built environment and barriers militating against its uptake. The necessity of the data on Client Relationship Management uptake is due to the slow rate of adoption of the modern client management tool in the built environment compared to other industries like telecommunication and logistic enterprise 2The population for the data exploration is the summation of construction organizations which comprises of consulting and contracting firms in Nigeria. The dataset collected is more specific to construction business of contracting and consulting firms operating in Lagos State. Lagos State has many head offices of construction organizations within the state. The contracting and consulting construction firms used to generate the data were selected randomly from the pool of the record of registered construction organizations in the study area. A cross-sectional research survey design was used in selecting the sample size of seventy-five (75) construction organizations. Questionnaire instruments were directed to managerial staff that deal with client and client organizations. Similar field surveys that have obtained dataset in like manner include"}
+{"text": "Now, the time required to replace a field light is up to seven times faster and the time to realign a reticule is reduced to the order of three times faster. Only one quality control (QC) check is required after these adjustments. Removal of excess heat within the gantry head has eliminated two major problems: (A) the metal rod supporting the mirror assembly for the field light no longer expands and contracts causing a misalignment of the field light projection, and (B) the damage to the bearing in the cooling fan assembly has been eliminated. The simulator is now more functional and these improvements have reduced downtime significantly, making repairs and adjustments much more convenient and efficient.The modifications made to a radiotherapy simulator that improve its functionality and minimize its downtime are described. Functionality was enhanced with some simple effective improvements. Decreasing the frequency and time spent on repairs reduced downtime. These \u201cin\u2010house\u201d improvements were made to a Varian Ximatron simulator at the Tom Baker Cancer Center. Now there is easier access to the field light and optical distance indicator (ODI). Projections of the field light and ODI are much brighter and ODI adjustment is more reproducible. A crosshair was etched onto the clear PACS number(s): 87.53.Vb, 87.53.Xd Conventional radiotherapy simulators are still the workhorses for treatment simulation even with the popularity of CT\u2010simulators and virtual simulation. Almost all treatment facilities use conventional simulation for tumor localization and treatment simulation for many treatment sites. They are much less expensive and simpler and cheaper to repair and maintain than the more complicated CT\u2010simulators.Some conventional simulator designs do not allow convenient or timely repair and replacement of components within the gantry simulator head. The compactness of all of the various systems makes it difficult to gain access to the affected component and not adversely affect other nearby components unintentionally. Thus, seemingly simple routine servicing that should be quick to complete are made difficult and untimely.The replacement of burnt out light bulbs for the field light and optical distance indicator (ODI) assemblies require immediate replacement usually during a busy clinical day. On the average replacement occurs once or twice a year and there have been years where light bulb replacement occurred up to four times. The proximity of these lights is so close to other crucial components that any tampering with them may adversely affect the others. Again what should be simple tasks are manifest into inordinate amounts of time during the useful clinical day causing an increase in downtime that should be preventable or reducible.All improvements have been made to the components in the head of the simulator gantry with the intent of making convenient and more efficient adjustments and major savings in downtime. Before modifications downtime from these components ranged from 5.5 to 22.5 h per year, and after the improvements downtime was reduced to the range of 3.5 to 5.5 h. The time to plan trouble shoot, and implement the modifications took approximately one week of nonclinical time. Duplicate original equipment manufacturer's (OEM) components were modified externally allowing continued clinical use of the simulator. Final implementation of the completed modules was efficient and also performed outside of clinical time (see Table II). The importance of the field light, ODI, and reticule alignment see Fig. in the sSeven major improvements have been made to deal with the following problems:(i) Gaining access to the affected device in a timely manner within a tightly compacted and confined space. Many components are within very close proximity to one another within the simulator head. In fact, some systems block access to others and some systems cannot be handled without simultaneously touching and adversely affecting another.(ii) Heat buildup caused by the burning bulbs of the field light and ODI. This heating and eventual cooling causes the metal rod supporting the mirror to expand and contract. The mirror, which is then a moving target, changes the optical projection of the reticule crosshair causing a perceived misalignment. In the cooled state, this misalignment disappears.(iii) The cooling fan bearing wears down with latent heat originating from hot light bulbs causing premature failure.(iv) Alignment mechanism for ODI lacks reproducible control using only one screw to control tilt. Thus, trial and error is used in positioning.(v) Projections of the field light and the ODI are dim enough that they are difficult to read on the patient.(vi) Damaged or loose reticules have been time consuming to realign.(vii) Quality control checks after any of the above mentioned repairs have been very time consuming and may have to be repeated in an iterative repair procedure causing further delay to clinical service. Reducing repetition of these or eliminating them altogether is desirable in reducing downtime.The lamp assembly was modified with fiber optics to make the manipulation of the assembly more convenient and timely. It was relocated to share the housing with the ODI and the cooling fan that is shown in Fig. A special tilting mechanism was added to the fiber optic inputs for the field light and ODI shown in Fig. The ODI mechanism for alignment was controlled from a single screw or pivot It was modified to allow movements using two independently placed screws. This allows a push\u2010pull dynamic facilitating more reproducible movements for alignment. Figure All of the improvements have produced a reduction of downtime and more convenient repairs and maintenance (see Table II). The components requiring the most frequent servicing, namely the field light and ODI, were improved significantly. The modified design facilitates easier access to these components while minimizing or eliminating the potential for adverse effects to other components nearby. This increases efficiency by eliminating needless adjustments and the accompanying QC checks.3 Replacing the light bulb for the field light for example will no longer affect the bulb positioning since it is fixed within the new housing and this eliminates the lengthy amount of time that was required previously to reposition the bulb. Now the QC afterwards is done only once for the affected component only.The heat that builds up from the field light and the ODI light was concentrated and made the assembly too hot to touch. The conduction of this heat caused the expansion of the mounting rod see Fig. that supThe tilting mechanism for the field light and ODI is a very simple but significant improvement. This feature locks the corresponding light bulb into a position eliminating the fiber optic input falling on the optical shadow created by the apex of the bulb. A significant increase in brightness is achieved for both systems.Any positioning adjustment of the ODI can now be done in a reproducible manner with the new dual screw push\u2010pull mechanism. A large increase in efficiency is realized over that of the previous single screw trial and error mechanism.x\u2010ray center coincides with the optical center and the collimator axis of rotation.The addition of the optical crosshair markings on the previously clear acrylic exit window facilitates an effective starting point for realignment and replacement of the reticule. The reticule crosshair is aligned optically with the projection from the acrylic window crosshair. Then centering of the crosshair is tested optically followed by a fluoroscopic test to verify that the optical and fluoroscopic crosshair images match.A Varian Ximatron simulator has been improved with regards to utility and the reduction of downtime. The field light and ODI assembly have been combined into one housing together with the cooling fan which now runs continually to remove any heating problems from the lights. This design makes these components more accessible and their adjustment independent of other components in the simulator gantry head. The field light has been modified to include fiber optics and any light bulb replacement occurs at a fixed position within the housing, eliminating time\u2010consuming optical maneuvering. Increased brightness to both the field light and ODI has been achieved with a tilting mechanism that fixes the bulb into a shadow\u2010free position within the assembly. The continuously running cooling fan reduces the heat enough such that it disallows the previously occurring displacement of the mirror. This saves much time and frustration in repair. Premature failure of the fan is also avoided. The ODI adjustment mechanism has been converted from a trial and error device utilizing a single screw into a dual screw push\u2010pull dynamic allowing reproducibility. A permanent optical crosshair that overlaps optically with the reticule crosshair has been added to the clear acrylic sheet composing the exit window. This allows an efficient reticule replacement or adjustment. All of these improvements have significantly reduced downtime of repair, replacement, and repositioning. The frequency of QC after routine adjustments has been greatly diminished with the added confidence of the design."}
+{"text": "Haematopoiesis is the term used to describe the production of blood cells. This is a tightly regulated hierarchical system in which mature circulating blood cells develop from a small population of haematopoietic stem (HSC) and progenitor cells within the microenvironment of the bone marrow. Molecular and genetic abnormalities arising in these stem cells lead to a block in the normal programme of proliferation and differentiation and result in the development of the blood cancers known as the leukaemias and lymphomas. Recently the regulatory role of the bone marrow microenvironment or niche has also become increasingly recognised. The interface between the bone and bone marrow (endosteum) and the region surrounding the blood vessels (perivascular) provide distinct niches harbouring quiescent HSC or proliferative HSC respectively. Current chemotherapeutic regimes can often successfully target the proliferative HSC but disease relapse occurs due to residual quiescent HSC. Understanding these developmental and regulatory processes and the associated cell communication mechanisms are thus crucial to the development of new treatment strategies. The CCN family of proteins have been recognised to play a key role in all aspects of haematopoiesis. Normal adult blood cell production (haematopoiesis) takes place mainly within the bone marrow. It is now acknowledged that this microenvironment plays a key role in maintaining the balance between proliferation and differentiation with insulin-dependent diabetes mellitus (IDDM) and CD34+ cells from 100 cord blood samples is also a recognised source of haematopoietic progenitor cells although these cells differ subtly from those found in bone marrow is characterised by the accumulation of malignant plasma cells in the bone marrow (BM) leading to the overproduction of monoclonal immunoglobulins, osteolytic bone lesions, renal disease and immunodeficiency. MM is usually preceded by the premalignant conditions monoclonal gammopathy of undetermined significance (MGUS) and/or smouldering multiple myeloma (SMM). Interactions between MM cells and the BM microenvironment are well-established to play a role in supporting the growth and survival of MM cells, as well as enhancing bone resorption through increased osteoclast activity and suppression of osteoblast activity is a term used to represent a group of leukaemias in which there is a block in differentiation in the myeloid lineage of cells. These leukaemias are the result of malignant transformation in haematopoietic stem or progenitor cells and are characterised by the presence of 20 % or more immature blast cells in the blood or bone marrow at diagnosis. AML is classified into specific subtypes based on cytogenetic and molecular characteristics defined by the World Health Organisation. This classification provides prognostic information regarding poor, intermediate and favourable risk groups study is from the MILE (Acute Lymphoblastic Leukaemia (ALL) is the most common leukaemia found in children but it is also found in adults where it has a poor prognosis. Research in this field is focussed on finding new prognostic biomarkers and alternative therapeutic targets compared to non-Hodgkins (32 patients) lymphoma is the only blood cancer which is characterised by a single specific genetic marker, the Philadelphia chromosome. This is caused by a reciprocal translocation between chromosomes 9 and 22 and leads to the formation of the bcr-abl fusion protein associated with elevated tyrosine kinase activity. Tyrosine kinase inhibitors have been developed as targeted therapy for CML and have been successful in obtaining long term remissions in patients. Nevertheless, many patients become resistant to these inhibitors and it is acknowledged that the leukaemia initiating cell remains. Efforts are now being made to find targets other than the kinase activity and to understand the relationship of the leukaemic stem cell with the surrounding microenvironment (Hughes and Ross CCN3 expression is dys-regulated at both the RNA and protein level in CML and there is a reciprocal relationship between CCN3 and BCR-ABL expression (McCallum et al. The mechanism of action of CCN3-induced growth regulation has been investigated using a number of cell line models. In the FDCP-MIX CML cell line model it was shown that BCR-ABL kinase activity not only regulates transcriptional activity but also enhances CCN3 secretion by the cells (McCallum et al. CCN3 is a non-canonical NOTCH ligand which is known to be a core signalling pathway in the haematopoietic system (Bigas et al. With the advent of high throughput technologies it is possible to screen for expression of thousands of genes in both cell lines and primary clinical material. CCN family members are now included on many microarray platforms and information on expression profiling is increasing exponentially. Two large online datasets discussed in this review, BloodSpot and MILE, are prime examples of information which suggests a wider involvement of CCN family members in blood cancer than currently appreciated but has not yet been validated (Kohlmann et al. This review has focused on the role of CCN members in haematological malignancies where there is more than simply basic expression data available. The haematology research community is currently focusing on targeting the microenvironment in addition to the malignant stem cell to improve therapeutic efficacy. It is clear the CCN family will play a key part in these future developments."}
+{"text": "This review will discuss the importance of sequencing long chondroitin sulfate and dermatan sulfate chains specifically derived from decorin. Decorin is a member of the small leucine-rich repeat proteoglycans and ubiquitously expressed primarily in the skin. Sequence information and diverse function of glycosaminoglycans is further influenced by variable expression through the core protein indicating the importance to analyse glycosaminoglycans from specific proteoglycans."}
+{"text": "The electroactivity of purine and pyrimidine bases is the most important property of nucleic acids that is very useful for determining oligonucleotides using square wave voltammetry. This study was focused on the electrochemical behavior of adenine-containing oligonucleotides before and after their isolation using paramagnetic particles. Two peaks were detected\u2014peak A related to the reduction of adenine base and another peak B involved in the interactions between individual adenine strands and contributes to the formation of various spatial structures. The influence of the number of adenine bases in the strand in the isolation process using paramagnetic particles was investigated too. The limits of detection were calculated, whereas N was expressed as standard deviation of noise determined in the signal domain unless stated otherwise [The mathematical analysis of the data and their graphical interpretation were analyzed by software Matlab . The results are expressed as mean \u00b1 standard deviation (S.D.) unless noted otherwise and changes in analytical parameters . It seems that the separation processes based on magnetic materials could change the properties of biomolecules and influence especially their usage in"}
+{"text": "Neurodegenerative disorders encompass a range of medical conditions which primarily affect the neurons in the human brains. Such conditions result in the disorders of the central nervous system which eventually lead to the progressive loss of neural tissues including death of neurons . An insight into the prospective roles of haptoglobin (Hp) (an endogenous hemoglobin-binding protein) in traumatic brain injury and other acute brain injuries is discussed in another report which portrays to be helpful in understanding the inconsistency in outcomes of clinical studies regarding the importance of Hp phenotypes in such brain injuries . This study is a step forward to develop and progress with new therapeutics in the prevention of cerebral hemorrhage which is a common feature of traumatic brain injury and its associated chronic disabilities . Furthermore, important and significant biomarkers for neurodegeneration have been investigated and studied for their sensitivity and specificity in this e-book that sheds new lights in treatment of irreversible cognitive deficit and dementia in elderly population. Biomarkers represent important molecular diagnostic tools and thus the development of novel biomarkers could bring significant breakthroughs in an early diagnosis of neurodegeneration .This e-book showcases important and significant reports that cover a wide range of areas in neurodegeneration research and treatment. These include diagnosis and prognosis; role of neuroactive drugs in regulating central nervous system; advances in novel biomarkers; brain injury induced neurobehavioral outcomes and also connectivity between spinal muscular atrophy and loss of \u03b1-motors neurons among other reports. One of the reports investigates the origin and potential function of corpora amylacea (CA) which are found in large numbers in the central nervous system of the patients with neurodegenerative diseases. Immunohistochemistry analyses were employed to reveal fungal proteins present in CA from patients diagnosed with Alzheimer's disease . In another review, adropin is discussed as a biomarker for the diagnosis of central nervous system disorders and is considered as a potential therapeutic candidate in central nervous system injuries . It is believed that hyper excitability in neuronal network possibly contributes to the cognitive deficits in Alzheimer's disease and this is addressed in a research report that sheds light on the mechanism of aberrant neuronal networks in Alzheimer's disease . To this end, researchers conducted investigations on the excitability in cultured pyramidal neurons from APP/PS1 mice using patch clamp recording techniques. This provides an important insight into the pathogenesis of Alzheimer's disease that could be helpful in developing new therapeutic avenues in the future . This e-book covers another area of neurodegeneration: spinal muscular atrophy, which is an early-onset, autosomal recessive neurodegenerative disease that is characterized by the loss of spinal \u03b1-motor neurons leading to infant deaths (Butchbach). The author highlights why a better understanding of the underlying mechanism causing spinal muscular atrophy and the accurate measurements thereof are crucial to control such neurodegenerative disease in infants (Butchbach). The molecular mechanisms of C9orf72 gene causing amyotrophic lateral sclerosis, frontotemporal dementias and atypical parkinsonian syndromes are also discussed (Munteanu and Lynch).In a particular review, the application of stem cells and induced pluripotent stem cells in combating neurodegeneration is discussed that addresses the issues of diagnosis, modeling, and therapeutic transplantation strategies (In concluding our thoughts and deliberations, we do hope that this discussion forum in the form of an edited e-book will advance our further understanding to have an enhanced insight of neurogenesis and eventual cure for neurodegenerative diseases. Future research directions might involve multifunctional biomolecular diagnostic markers and technology platforms that would significantly enhance and augment the accuracy, specificity and sensitivity that would drive an early diagnosis and prognosis of various neurodegenerative disorders.Both authors have made substantial intellectual contribution to the work, and approved it for publication.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "The data presented in this article are related to the research article entitled \u201cThe Influence of Atrium on Energy Performance of Hotel Building\u201d Specifications TableValue of the data\u2022The detailed thermal loading data provided for design alternatives of atrium type hotel buildings in Belgrade would give designers a better understanding of hotel energy demands.\u2022The building energy modeling and simulation is performed using EnergyPlus simulation software, and could be compared to other studies that used different simulation techniques.\u2022The data presented in this article could be used for analyzing the facilities located in the climatic conditions similar to Belgrade climate.\u2022Atrium design alternatives could be used as a basis for further research and development of hotel building envelopes.1The data in this article present input data and schedules for the building energy simulation of design alternatives of atrium type hotel building .The research method includes the creation of a hypothetical model for the analysis, design of alternatives, application of numerical simulations using computer software, and comparative analyses of the selected results. The building energy simulation is carried out by OpenStudio SketchUp PlugIn \u2013 an interface that integrates with EnergyPlus simulation engine. Certain parameters in the particular model are changed so that the observation of how the changes influence energy performance of the building could be conducted."}
+{"text": "This data presented herein are the research summary of \u201cmechanical behavior and durability performance of concrete containing recycled concrete aggregate\u201d Specifications TableValue of the data\u2022The influence of replacement of recycle concrete aggregate in production of new structural concrete is discussed here\u2022This data set can also be used as a guideline for others to scrutinize the properties of recycle concrete aggregate\u2022The research data presented herein may be useful to manufacture different commercial elements using recycle concrete aggregate\u2022This data set may also encourage to recycle other wastes to minimize the dependency on natural resources1This dataset reported herein were obtained from the experimental studies conducted on the different percentages of recycle concrete aggregate (RCA) replacement in the concrete mix and relate them to the influence of physical, mechanical and durability properties. The detailed of the dataset can also be found in 2The materials compositions for different RCA mixes used in the research are shown in The RCA was collected from the different sources of construction and demolition waste (C&DW) sites in the Western Cape region of South Africa. Concrete was then made by replacing different percentages of NA by RCA as they are assigned RCA0 to RCA100 in The physical properties of aggregates such as relative density of aggregates, aggregate crushing value, flakiness index, and water absorption capacity were also measured and presented in"}
+{"text": "The data presented herein are compilations of the research summary of \u201cAssessment of the Quality of Steel Reinforcement Bars Available in Nigerian Market\u201d [1]. This data article provides information on the properties and cost of steel rebars used in reinforced concrete in Lagos, Nigeria. The data is based on the properties of 12\u202fmm rebar brands which are the most used steel diameter in construction and they include actual diameters, yield strengths, ultimate strengths, ultimate/yield strength ratio, ductility and the cost of each brand. This data also contains the limiting standard properties of the highlighted properties in this data. Specifications TableValue of the data\u2022This data will assist in assessing the role of steel rebars in the quality of our reinforced concrete properties and form a basis on how to prefer solutions to managing the challenges the state of the steel might pose to construction and durability of building structures.\u2022The data can be used in collaboration with other related research outcome to develop a local factor of safety for the steel rebar as used in the design of reinforced concrete.\u2022This data can form a basis for the standard regulatory bodies or agencies to query erring steel rebar manufacturing brands with a view to improving their quality or appraising complying brands.1Over 90% of storey building in Nigeria are of structures made from reinforced concrete 2The method of sampling these rebars is by market survey to identify the steel brands used in this data, purchased three cuts of 12\u202fmm diameter rebars for each identified steel brand from three different merchants. The cuts were labeled and sent to the laboratory for tests. 12\u202fmm diameter bar size was chosen because it is the most used in structural design work in Nigeria Reinforced concrete is designed according to a recommended standard procedure"}
+{"text": "Most often the newspapers and bulletin come out with voluminous cases of deaths due to drowning. At the same time an ample section of such cases encompass entomological evidences, that can be scrutinized as a very useful parameter in estimating post mortem interval (PMI). This research database is an outcome of a 2 years reflective study, based on an assessment of records related to human deaths due to drowning. The drowned bodies from various districts of Haryana are sent to PGIMS , Rohtak. The study took the data of year 2015\u20132016 into consideration. All the cases were reviewed and summarized in terms of monthly occurrence of total cases, age differentiation, gender differentiation and month wise occurrence of entomological evidences on the dead bodies through detailed study of post mortem findings. This data will lead to an insight into the magnitude of drowning deaths in Haryana along with the usage of entomological data for determining Post Mortem Submersion Intervals (PMSI). Specifications TableValue of the data\u2022Routine monitoring of deaths due to drowning in an aquatic environment is very important for medicolegal and forensic purposes around the world.\u2022Little is known about the trend of drowning related death in an aquatic habitat with respect to entomological evidence, so the present data emerge of immense value since no data is available on this important aspect from Haryana.\u2022The information provided in this data set bring about new ideas for forensic experts and police officers about the trend of drowning deaths in an aquatic habitat with respect to the presence or absence of any entomological testament.\u2022This kind of data is also useful for scientists and researchers working in the field of forensic medicine, aquatic entomology and forensic entomology. It administers detailing to the inhabitance of entomological specimen in this particular area.\u2022Entomological facts generated in the study provide a pandora of information which can be useful for future efforts in the discipline of forensic entomology.\u2022The details contributed here would be the first of its kind for the readers to fully understand the types and trends of drowning deaths with a special emphasis on entomological knowledge in an aquatic environment.\u2022The present data shows the presence of entomological specimen with most of the recovered drowned bodies. The neglect of this evidence is no more possible.\u2022This data will also provide means of determining PMI in aquatic environments, when the initial signs of decomposition have passed off.\u2022This data serves as a source of information for the research institutes as well as for the forensic science community. It can be further used to correlate the significance of entomological specimen present in drowned bodies for future research in this particular area.1The data provided in this article explain about the trend of deaths in an aquatic environment and the significance of entomological evidence in drowning deaths from Haryana, India . There h2Experimental design consists of frequencies based on the distribution patterns of death due to drowning in an aquatic system. These patterns were evaluated in the context of location, year, month, gender and age wise variations. The present database comprises of drowning death cases reported in the Department of Forensic Medicine, Post Graduate Institute of Medical Sciences (PGIMS), Rohtak from 1st January, 2015 up to 31st December, 2016. All the drowning related death cases were surveyed and filtered from the Post-mortem Reports (PMRs) , Table 5"}
+{"text": "Action research (AR) has an important role to play in educating physical therapists. Increasing efforts should be encouraged to instigate AR programs in physical therapy practice and clinical education. Such programs commonly require considerable effort and understanding by clinical instructors, and require adoption of new educational methods. AR programs can lead physical therapists and clinicians to be more questioning and reflective in evaluating practical questions regarding patient therapy and education. The purpose of this article is to educate the readers on the importance of AR and to provide a few relevant references on that topic. A specific study is described in this paper in which physical therapy clinical instructors participated in a structured workshop designed to demonstrate the values of AR and how such values can be incorporated in teaching their students. AR can lead to improved therapist-patient interaction and help solve specific practical problems arising during therapy sessions."}
+{"text": "For genomic medicine research to be fully translated into clinical care, it is critical for researchers to engage stakeholders who ultimately regulate the use of genomic technologies and therapeutics within healthcare practice. Herein, we describe an example of how this might work. Notwithstanding the historical hype of genomic medicine , there iProducing the evidence is but the first step toward implementation of genomic medicine. Efforts to engage with target communities and patient stakeholders are now a frequent component of clinical genomics research protocols . Successhttps://cser-consortium.org/), Implementing Genomics in Practice , and Clinical Genome Resource . A primary aim of these public-funded projects is to elucidate whether and how genomic technologies can be utilized to improve patient outcomes and optimize healthcare for the population and individual. In other words, much of research is focused on the analytic and clinical validity as well as clinical utility of genomic technologies. Researchers\u2019 definitions of these concepts may vary considerably from that of regulatory groups, however. Rather than producing scientific evidence with the assumption that it will meet the evidence requirements for policy development, it is important to engage individuals making both coverage and regulatory decisions to understand the evidence needs and assessment processes of these stakeholders. Such engagement may facilitate understanding between researchers and regulators and help ensure study designs and outcomes achieve their intended goals.Currently, many of the research programs producing the growing body of evidence for healthcare applications of genomic medicine are associated with or directly linked through large-scale consortia funded by the National Human Genome Research Institute (NHGRI), under the purview of the National Institutes of Health (NIH). Examples include Clinical Sequencing Exploratory Research in genomic medicine and their evidence/data needs for policy development and decision-making. Key questions may include the following: (1) What is each regulatory group\u2019s role(s) in genomic medicine and how can research efforts contribute to their specific aims? (2) What types of evidence are needed to support each group\u2019s regulatory decisions? (3) Do the research aims align with the evidentiary needs and/or can the study protocol be amended in response to the required data/evidence? (4) Are there mutual benefits to establishing a relationship? (5) Is it feasible to build and sustain a relationship of transparency, communication, and dissemination?The US Food and Drug Administration (FDA) proactively expressed interest in ClinGen\u2019s approach to curation of genes and variants. Based on this interest, ClinGen sought to establish a process of engagement with the FDA as the first stakeholder. The interactions to date between ClinGen researchers and the FDA described here are presented as an example of how such engagement could work. To facilitate the development of this stakeholder relationship, a small workgroup of key program contacts/liaisons from the relevant organizations met monthly via conference calls. At the outset, roles and interests were defined as summarized in Fig.\u00a0The open dialogue generated by establishing this relationship has provided a means through which to clarify and/or contextualize confusing or misunderstood jargon and concepts in terms of the research and the regulatory processes. Acknowledging the need for shared learning is essential to building a mutually respectful relationship. The formal development of a dedicated liaison and workgroup tasked with engaging regulatory groups has allowed broader contextualization of overarching goals and minimized the possibility for ambiguous messages or distorted perceptions.The relationship has allowed ClinGen researchers to understand the potential uses of ClinGen resources for FDA regulatory purposes and to align curation processes to produce a resource consistent with FDA draft guidelines on regulatory-grade databases . The accThrough this experience, it has become evident that engaging with regulatory stakeholders, such as the FDA, can not only be helpful in the development of the ClinGen resource, but is essential to guiding appropriate utilization of the generated evidence to support improved health through genomic medicine Fig.\u00a0. This exThe need for continued and increased regulatory engagement activities among genomic medicine research is great, and the potential impact of these types of interactions to further clinical genomic medicine may be well worth the effort."}
+{"text": "Sickness absence rates in the UK continue to exceed those in much of the developed world, with an annual cost to employers of \u00a329 billion. Rates of sickness absence in the public sector are higher than those in the private sector, with the exception of the fire service where they are consistently lower.To understand the influences that increase attendance among operational firefighters.A series of semi-structured interviews undertaken with operational staff to explore their attitudes to sickness absence.Review and analysis of participant responses identified a number of key themes, namely employee well-being, including physical fitness and mental health; employee engagement with the fire service as manifested by culture, experience, nature of the job and leadership; organizational factors including the staffing model and relationship with occupational health services and policy, which describes both refinements to and implementation of targeted policies.Previously observed factors such as improved fitness and the distinct firefighter culture play a role, yet other factors emerged that could explain the differences. These include the greater work\u2013life balance offered by their shift patterns, the terms and conditions of employment and perhaps most importantly the evolution of precisely targeted policies that understand the unique nature of the operational fire service. The rates of sickness absence in the UK, where workers take an average of 9.1 sick days per year, costing employers around \u00a329 billion in sick pay and employees \u00a34 billion in lost earnings and a nuAt first glance, these figures may appear incongruous considering the hazardous nature of operational firefighting and the risk of physical injury and exposure to psychological stress ,9. TheseThe study took place within WMFS, the second largest UK Fire and Rescue Service (UKFRS) and one that provides emergency services to 2.7 million residents of the seven local authorities within the West Midlands metropolitan county. The workforce consists of some 1500 operational and 500 non-operational staff. Operational staff are made up of firefighters or fire officers, organized into groups known as \u2018watches\u2019, working either day or night shifts typically in a pattern of 4 days on and 4 days off. Non-operational staff work in fire control and are responsible for handling emergency calls to the service, with shift patterns similar to operational staff, or in specialist and administrative roles such as human resources or finance where staff typically work more conventional office hours.All those invited to participate in the study were operational staff directly employed by WMFS and purposively sampled to reflect a range of rank, gender and length of service. The intention was not to sample proportionate numbers of each rank but instead for our sample to incorporate maximum variance, i.e. to reflect the range of seniority of operational employees. Written invitations were issued to all six operational watches from occupational health. Semi-structured interviews by the second author, a member of the occupational health unit at WMFS, were used to capture individual experiences of operational staff regarding their motivation to attend and the factors that influence this motivation. These include attitudes to their role and to their colleagues and the current management of sickness absence within the service . CollectWhat emphasis do you place on the importance of physical health?What emphasis do you place on mental health?Are there any aspects of your role that encourage you or your colleagues to attend work?Are there any aspects of your work environment that encourage you or your colleagues to attend work?Are there any aspects of the way your work is organized that encourage you or your colleagues to attend work?What impact if any have management policies had on whether you or your colleagues attend work?A total of 16 interviews were conducted with staff who had served between 8 and 28 years and ranged in rank from station commander to firefighter. The response rate was low at 24%, although the requisite job titles and watches were represented in the group interviewed. Only two of the participants were female which though small is indicative of the lower numbers of female operational staff. The characteristics of those interviewed are summarized in The first theme of \u2018employee health\u2019 describes the attitudes of operational staff to physical fitness and mental health. This included how they related to exercise and their attitudes to mental health and the reluctance to use the word stress. Quotations illustrating these findings are contained in The second theme was \u2018employee engagement\u2019 which describes the connection staff felt with their colleagues and their organization . It appeThe third theme identified, \u2018organizational factors\u2019 describes the structure of the organization and how resources are utilized . SpecifiFinancial incentives were also described and reference made to the continuing professional development (CPD) payment of up to \u00a3900 per annum available to operational individuals as part of their National Joint Council terms and conditions of employment. This payment can be withheld if sickness absence exceeds stated limits (quotation 18). However, potential drawbacks in the form of presenteeism were also recognized as one consequence of using these financial rewards (quotation 19). Whatever the policy, there was an understanding that they were only successful if implemented correctly and the importance of raising awareness in senior staff of the content of the policy and how it should be executed was noted (quotation 20).A number of potential influences on attendance among operational fire service staff emerged. These included the physical and mental resilience borne of their training and the engagement that comes from the distinct role and culture of the fire fighter. However, there appeared other important factors such as the shift system that provides a better work\u2013life balance and changes to policy that helped reduce the sense of entitlement to sick pay, encouraged responsibility for attendance and introduced the potential for financial penalties. We present what are to our knowledge the first detailed insights into the factors that underlie the low sickness absence rate of these public sector employees. Staff with a range of experience and rank were interviewed, reflecting the broader operational workforce. We further point out the advantages of an interviewer within the same organization, a role as occupational health advisor providing both understanding of the organization and trust within it, both of which are recommended characteristics when gathering qualitative data . That saPreviously research has shown how improved physical fitness can help reduce sickness absence and the Engaged employees take less sickness absence and charThe impact of correctly implementing a precisely worded attendance management policy has long been recognized and a number of successful policy adjustments were described by our participants. These included more robust policies to reduce the sense of entitlement and the requirement of colleagues to cover for absent team members, potentially a persuasive factor when considering the camaraderie of firefighter culture. One further policy change that appeared effective, though not without prompting concerns of presenteeism, was linking continual professional development payments to attendance. Previous research has also described the positive impact of financial incentives on work attendance particulOur study has identified a number of factors that appear to contribute to continued low levels of sickness absence observed in the operational fire service. Future work might attempt to quantify some of our findings and determine further their relative importance both alone and in combination. Our qualitative work now needs underpinning with quantitative data to help determine which interventions and occupational settings would be most effective. A starting point would be to pilot interventions based on the influences we have identified in isolation across non-operational staff groups within the fire service and begin to build an evidence base of demonstrable efficacy.This is the first study of its kind to try to identify and understand the factors determining why sickness absence rates observed among operational firefighters are the lowest in the public sector.Though physical fitness and firefighter culture play a part, other factors came to light including the positive work\u2013life balance afforded by fire service shift patterns and the evolution of precisely targeted policies that understand the unique nature of the operational fire service.The relative importance of the factors identified and how they combine should be explored further in view of the potential benefits of reducing sickness absence in other groups of public sector workers.P.H. was employed directly by WMFS as a senior occupational health advisor. I.L. declares no conflicts of interest. The findings and conclusions in this work are those of the authors and do not necessarily represent the official position of WMFS."}
+{"text": "Cytotoxic chemotherapy brings routine cures to only a small select group of metastatic malignancies comprising gestational trophoblast tumours, germ cell tumours, acute leukemia, Hodgkin\u2019s disease, high grade lymphomas and some of the rare childhood malignancies.We have previously postulated that the extreme sensitivity to chemotherapy for these malignancies is linked to the on-going high levels of apoptotic sensitivity that is naturally linked with the unique genetic events of nuclear fusion, meiosis, VDJ recombination, somatic hypermutation, and gastrulation that have occurred within the cells of origin of these malignancies.In this review we will examine the cancer stem cell/cancer cell relationship of each of the chemotherapy curable malignancies and how this relationship impacts on the resultant biology and pro-apoptotic sensitivity of the varying cancer cell types.In contrast to the common epithelial cancers, in each of the chemotherapy curable malignancies there are no conventional hierarchical cancer stem cells. However cells with cancer stem like qualities can arise stochastically from within the general tumour cell population. These stochastic stem cells acquire a degree of resistance to DNA damaging agents but also retain much of the key characteristics of the cancer cells from which they develop. We would argue that the balance between the acquired resistance of the stochastic cancer stem cell and the inherent chemotherapy sensitivity of parent tumour cell determines the overall chemotherapy curability of each diagnosis.The cancer stem cells in the chemotherapy curable malignancies appear to have two key biological differences from those of the more common chemotherapy incurable malignancies. The first difference is that the conventional hierarchical pattern of cancer stem cells is absent in each of the chemotherapy curable malignancies.The other key difference, we suggest, is that the stochastic stem cells in the chemotherapy curable malignancies take on a significant aspect of the biological characteristics of their parent cancer cells. This action includes for the chemotherapy curable malignancies the heightened pro-apoptotic sensitivity linked to their respective associated unique genetic events.For the chemotherapy curable malignancies the combination of the relationship of their cancer stem cells combined with the extreme inherent sensitivity to induction of apoptosis from DNA damaging agents plays a key role in determining their overall curability with chemotherapy. Despite the introduction of a significant number of new cancer therapeutics that target specific molecular pathways within malignant cells, the use of DNA damaging cytotoxic chemotherapy currently remains the mainstay in the management of most malignancies .In the majority of metastatic malignancies, DNA damaging cytotoxic chemotherapy can reduce the disease bulk, improve symptoms and extend life . HoweverBeginning in the 1950s and fully established by the 1980s there has been the development of routine curative chemotherapy treatment for most patients with acute leukemia, high grade non-Hodgkin\u2019s lymphoma (NHL), Hodgkin\u2019s disease, testicular and ovarian germ cell tumors, the gestational trophoblast tumors and for many cases of the rare childhood malignancies , 4. In cThere is clearly a significant clinical and biological divide between these rarer malignancies that can be routinely cured with cytotoxic chemotherapy and the majority of the more common cancers that are incurable in the metastatic setting and only relatively rarely cured even in the adjuvant setting. The biological explanation for this divergence presents a significant challenge to both understating of the cellular processes involved and to the development of more effective approaches to care , 7.With such a routine but dramatic and reproducible divide in chemotherapy sensitivity and treatment outcomes between these differing tumor cell types, the conventional explanations that ascribe chemotherapy resistance to the two main continuous variable parameters of the rate of tumour cell growth and the development of genetic mutations that lead to resistance are perhaps worthy of an updated review.Historically the concept of the inherent chemotherapy sensitivity of tumour cells and the concept of \u2018log kill\u2019 originated in early models that used murine leukemia as the model , 9. As wWe have recently suggested an alternate biological explanation for the extreme chemotherapy sensitivity of the chemotherapy curable malignancies. The theory centres on the close association between the cells of the chemotherapy curable malignancies and the occurrence of their unique genetic events of nuclear fusion, meiosis, variable-diversity-joining (VDJ) recombination, and somatic hypermutation (SHM) each of which has naturally upregulated apoptotic pathways as shown in Table\u00a0th century [The existence and important role of cancer stem cells appears to support many of the clinical observations on malignant cells and their responses to treatment. Whilst their existence was originally suggested in the 19 century , cancer century , 12. Fur century \u201317. Over century .The importance of tissue specific somatic stem cells on cancer biology and therapeutics is twofold. Firstly, the existence of tissue specific stem cells allows for cells to be sufficiently long lived to be able to accumulate the number of mutations required to develop the malignant phenotype . The secThe resistance to chemotherapy of the normal tissue specific somatic stem cells appears to be routinely shared by the stem cells that have undergone malignant transformation and have become cancer stem cells . It is bThe main cancer stem cell model relates to cancer stem cells that form a hierarchy in giving rise to the tumour cells, following the linear progression from somatic stem cell to cancer stem cell and then to cancer cell. However there is also evidence that cells with some similar properties of stemness can arise from within the tumour cell pool in the stochastic cancer stem cell model. However these cancer stem cells having a different aetiology to hierarchical stem cells and the potential to have different biological characteristics. These two approaches to cancer stem cells are not mutually exclusive with stochastic cancer stem cells being reported in colon cancer that is also supported by a hierarchical cancer stem system .By definition the development of the malignant phenotype dramatically affects the biology of the cell with a major impact on the inhibition of normal patterns of cellular differentiation, senescence, ageing and programmed cell death . The resThe most dramatic impact of the onset of the malignant phenotype on altering cellular development can be seen in B and T cell malignancies which arise at a number of differing points along the normal but complex linear lymphocyte development pathways. In these malignancies, the malignant cells appear to become developmentally frozen with no further progression in the normal inear development of these cells from the time of the onset of the malignant phenotype . As a reMore recently we have postulated how the impact of the onset of malignancy on freezing the cells normal developmental progression may leave malignant cells developing at certain normally transient but key developmental points with fixed heightened physiological pro-apoptotic potential . For eacAlongside the major contribution made to chemotherapy responses of the chemotherapy curable malignancies by the apoptotic sensitivity associated with their associated unique genetic developments, the ABC transport proteins also plays an important role in determining chemotherapy responses , 29.A number of studies have indicated that the expression of this family of molecules is associated with a reduction in the efficacy of chemotherapy as a result of the increased efflux of drugs from cancer cells , 31. HowThe relationship between stem cells, the cancer cell of origin, the expression of the ABC system and the response to chemotherapy treatment in the chemotherapy curable malignancies helps to define the unique biology of these cells.The ABC protein system is widely expressed in conventional tissue specific stem cells, where it plays a key role in protecting these cells from genotoxic stress . SimilarHowever, as previously discussed, in the chemotherapy curable malignancies, there are no standard hierarchical cancer stem cells derived from the tissue specific stem cells and each of these malignancies arises from a transient developmental cell. It is apparent that these transient developmental cells have very differing patterns of ABC protein expression compared to tissue specific stem cells and this status appears to impact significantly on the expression of ABC proteins in malignancies derived from them.In normal trophoblast cells, assessment of the expression and functional activity of ABC transporter genes in murine embryos indicate that activity of these efflux systems is not present immediately post nuclear fusion but only becomes active by day 6 . PatholoThere is less data on the expression of the ABC family proteins in choriocarcinoma and placental site trophoblast tumours, however the limited data indicates that the majority of cases of choriocarcinoma or PSTT do not express ABCB5 .B and T cell malignancies arise from differing transient cell types occurring along the lymphocyte development pathways . The levData suggests that this variation in ABC protein activity during normal B cell development is reflected in the various malignancies arising along the course of lymphocyte development. A number of studies have indicated that there the expression of ABC family members is significantly lower in both B cell and T cell ALL than in HSCs . This reIn Hodgkin\u2019s lymphoma which is believed to arise from germinal centre B cells, the majority of cases do not express ABC proteins. Of note a more recent study has indicated that the approximately 30% of Hodgkin\u2019s cases that do express the ABCC1 protein have a tendency to a worse prognosis . SimilarIn contrast in CLL, levels of ABC proteins are higher than in DLBCL and myelIn testicular cancer characteristically the majority of ABC proteins are expressed at only very low levels, with significant levels of expression only seen in tumours that have demonstrated chemotherapy resistance . The preReviewing the chemotherapy curable malignancies as a group it is apparent that they have this additional shared characteristic of generally low levels of ABC protein expression. This finding is intrinsically linked to particular cells of origin of these malignancies being transient developmental cells. Each of these developmental cells themselves have low ABC expression, rather than the high levels that are seen in hierarchical cancer stem cells. The relative role that these low levels of ABC expression plays compared to the impact of the unregulated apoptotic pathways associated with the unique genetic events occurring in these cells is an area to debate and hopefully one with interesting data to come.In the common epithelial malignancies the conventional structure of the cancer stem cell is the hierarchical system as shown in Fig.\u00a0In contrast in the chemotherapy curable malignancies the role and relationship of potential cancer stem cells appears to be significantly different in both the hierarchy of the cancer stem cell/cancer cell relationship and also of crucial importance in the characteristics of the cancer stem cell with regards to sensitivity to chemotherapy. Cancer stem cells in the chemotherapy curable malignancies have proven to be challenging to study but cells with stem like properties have been reported in most of these diagnoses. As discussed below it appears that in each case of the chemotherapy curable malignancies they do not have standard hierarchical cancer stem cell structure, however they do have a population of cells that have developed cancer stem cell qualities when arising from the malignant cells themselves in a stochastic or non-hierarchical model.The origin of the cancer stem cells in these malignancies may have a dramatic impact on their characteristics. Whilst the hierarchical stem cells will share many characteristics with the tissue specific somatic stem cells from which they arise, the stochastic stem cells arising from within the cancer cell pool whilst taking on some of the acquired characteristics of stemness, will also take on some of the primary biological properties of the malignant cell . We woulALL characteristically arises in pro-B cells that have or are undergoing VDJ recombination of their immunoglobulin genes . B cellsResearch into the existence and potential characteristics of cancer stem cells in acute lymphocytic leukemia (ALL) has been an area of considerable endeavour. A number of studies have indicated that there is no cancer stem cell hierarchy in ALL , 55, 56 Lymphoma presents a range of diagnoses of B cell malignancies arising from mature B cells that have completed VDJ recombination. Cells with stem like properties have been identified in a number of types of mature B cell malignancies including chronic lymphocytic leukemia (CLL), follicular lymphoma and myeloma \u201360. In kWe have previously hypothesised that the relationship to the onset of malignancy and the relationship with the VDJ or SHM activity determines much of the sensitivity of the malignant cells to chemotherapy and would argue that this degree of sensitivity is maintained in the stochastic cancer stem cells arising from these malignancies. The malignancies closely linked to VDJ and SHM, ALL, DLBCL, Hodgkin\u2019s disease and Burkitt\u2019s lymphoma are routinely curable with chemotherapy. However in contrast in malignancies arising distant from these genetic events; CLL, mantle cell lymphoma and multiple myeloma are not chemotherapy curable. We would argue that the apoptotic sensitivity linked to VDJ and SHM is absent in these cells distant from these events so determining the lack of extreme chemotherapy sensitivity in both the malignant cells and their counterpart stochastic stem cells.The pregnancy associated malignancies of post molar pregnancy trophoblast tumour and gestational choriocarcinoma are rare but highly curable with chemotherapy treatment , 63. TheGerm cell tumours are rare and predominantly arise from the pre-malignant precursors carcinoma in situ (CIS) in men and gonadoblastoma in women , 66. BotThe childhood malignancies have less clear developmental pathways but are generally believed to arise from embryological cells with blocked and failed development. We have previously postulated that the high apoptotic potential and chemotherapy curability of these rare malignancies is linked to the development of the malignant phenotype and blocked development occurring soon after gastrulation .In neuroblastoma the malignant cells are primitive cells with blocked embryological development that prevents normal cellular differentiation . Cells wThe finding that these other potentially chemotherapy curable malignancies do not arise in the conventional hierarchical manner from cancer stem cells related to standard tissue specific stem cells, also helps explain why these tumours frequently do not relapse after successful chemotherapy treatment.In the chemotherapy curable malignancies, the cells of each diagnosis arise from a cell which would normally have a transient passage through a complex developmental stage during which they become malignant. In health, a normal cell does not persist long term as a new trophoblast cell, or as a pro-B cell or germinal centre B cell, similarly the process of meiosis occupies only a relatively brief step in the complete pathway of production of sperm from sperm stem cells. In health cells passing through these developmental stages, do so for a relatively short length of time, and then exit to either the next stage in their development after their unique genetic event successfully occurs or naturally undergo apoptosis in response to event related DNA damage or an absence of positive selection.In the common solid malignancies the hierarchical relationship of the tissue specific somatic stem cell, the cancer stem cell and the cancer cells is relatively simple with the tissue specific stem cell giving rise through mutation to the cancer stem cell and the cancer stem cells in turn giving rise to the more rapidly growing standard cancer cells .In contrast in the chemotherapy curable malignancies the relationship and role of cancer stem cells is more complex and at present less clearly defined. The biological difference is most easily seen in the B cell and T cell malignancies where there is a very differing relationship with their stem cells than most conventional malignant cells. Here the stem cell that is the original source of cells for all lymphoid and myeloid malignancies is the haematopoietic stem cell (HSC). However this cell, which is very resistant to chemotherapy, only acts in the conventional stem situation for the initial lead off into B cell, T cell and myeloid cell development. After this point the B cell and T cells undergo the complex genetic recombinations of V(D)J genes and for the B cells somatic hypermutation and class switching that lead to their specific clonal identity. These processes in which DNA is cut, rearranged, mutated, rejoined and repaired contain much of the risk of DNA damage that leads to leukamagenesis and lymphomagenesis but alsoThe malignancies that arise further along these pathways and more distant from the HSC are physiologically very different cells and now clonally and mutationally only very distantly related to the original HSC. Whilst HSC that carry mutations have been recognised to confirm a risk of development of CLL, these cells are not directly clonally related to a current diagnosis of CLL and cannot serve to repopulate the pool of established CLL cells after chemotherapy treatment . Whilst In a similar fashion there is a similar lack of conventional hierarchical cancer stem cells for the other chemotherapy curable malignancies. In the gestational tumours the malignant cells arise from the primitive trophoblast cells, which are present for only short time after conception and nuclear fusion. Similarly the malignant germ cell tumours have no healthy counterpart and are believed to arise from arrested gonocytes that having ongoing meiosis/mitosis stresses. These cells are not present in health and the malignant germ cell tumour cells are not supported by stem cells arising from the spematogonial stem cells.These biological observations suggests that the chemotherapy curable malignancies share a common theme in that they do not have conventional hierarchical cancer stem cells. In each case their cancer stem cells appear to arise either from within the cancer cell pool in the stochastic model, as in ALL, lymphoma and choriocarcinoma, or from a persistent embryonal cell with blocked development as in the childhood malignancies and germ cell tumours. In Table\u00a0This observational model on the relationship between the chemotherapy curability of cancer cells and their stem cells is complicated in that some types of B cell and T cell malignancies including CLL, follicular NHL, multiple myeloma and the mature T cell malignancies also will share the same non-hierarchical stem cell model, frequently respond well to chemotherapy treatment but are not curable with chemotherapy.In this situation we would argue that the characteristics of the stochastic stem cells with regard to DNA damage and induction of apoptosis is not determined solely by the process of their development of stem cell characteristics but is also very significantly affected by the intrinsic characteristics of the malignant cell from which they arise . Figure\u00a0The ability of simple cytotoxic DNA damaging chemotherapy drugs used as single agents or more commonly in combination to cure a select group of relatively rare malignancies has been one of the great achievements from the early days of cancer therapeutics in the 1950\u201370s. However since then, despite enormous endeavour, no additional metastatic malignancy has been added to the short list of routinely curable metastatic cancers.This dramatic divergence in responsiveness between different malignancies to chemotherapy treatment and how to improve it, has been one of the major areas of oncology research. In this paper we have reviewed how the cancer stem cell structure associated with these malignancies may impact on this divergence.Our observations indicate that each of the chemotherapy curable malignancies arise in a cell type that has a transient passage through a complex developmental stage involving complex DNA manipulation. The conventional hierarchical cancer stem cell system is absent in each of the chemotherapy curable malignancies and these factors are likely to be an important associations with the dramatic and divergent responses seen to chemotherapy. Additionally each of the chemotherapy curable cancers arises from a parent cell that has much lower levels of ABC transporter protein expression than hierarchical cancer stem cells have is also likely to lead to a further increase in efficacy of chemotherapy treatment.In the chemotherapy curable malignancies the cancer stem cells where present, generally arise in a non-hierarchical or stochastic method from within the pool of tumour cells itself. In each malignancy these cells are either developmentally isolated from their originating tissue specific somatic stem cells or have no conventional hierarchical cancer stem cells. As a result of the absence of a hierarchical cancer stem cells, the chemotherapy curable malignancies can only have cells with stem cell like properties that have arisen from with the cancer cell pool. These cells will take much of their properties from the cancer cells rather than having the propertices of a conventional cancer stem cell that is closely related to the damage and chemotherapy resistant somatic stem cells.We have previously postulated the potential importance regarding the presence of the key cellular pro-apoptotic sensitivity associated with the unique genetic events of nuclear fusion, VDJ recombination, somatic hypermutation, meiosis and gastrulation. Normal healthy cells undergoing these activities are exceptionally sensitive to the action of chemotherapy drugs, as seen in the action of methotrexate in producing pregnancy loss , of chemWe would argue that this association also directly impacts on the chemotherapy sensitivity of the non-hierarchical or stochastic cancer stem cells associated with these varied malignancies. In this situation the responsiveness to chemotherapy of the stochastic cancer stem cell will be determined by both the acquired characteristics of stemness but also significantly impacted by the underlying apoptotic sensitivity of the malignant cell. As a result, in the chemotherapy curable malignancies the degree of chemotherapy resistance that the adoption of stemness gives to these stochastic cancer stem cells, is functionally outweighed by the apoptotic sensitivity and allows the chemotherapy to kill the stem cells. In contrast in the similar malignancies of CLL/mantle cell lymphoma/myeloma/low grade NHL which also have stochastic stem cells and no hierarchical stem cells, their stochastic stem cells do not have this extreme apoptotic sensitivity and their stem cells are able to survive the chemotherapy, in a similar fashion to standard hierarchical cancer stem cells.In this debate section, it is clear that there is a great deal of data needed to confirm or repudiate this new hypothesis. To date there has been only limited research on these natural apoptotic pathways, their mechanisms and the controls occurring in these cells. Additionally there has been also limited work on the differential apoptotic responses of the chemotherapy curable malignancies compared with the incurable. However whilst this paper may serve as a prompt to explore these areas in more depth it should also serve to remind that the genes that can give rise to overwhelming apoptosis in response to chemotherapy are present in every cancer cell and in their respective cancer stem cell. The key of how to unlock this potential is awaited."}
+{"text": "Since the signing of the Oslo Ministerial Declaration in 2007, the idea that foreign policy formulation should include health considerations has gained traction on the United Nations agenda as evidenced by annual General Assembly resolutions on global health and foreign policy. The adoption of national policies on global health (NPGH) is one way that some member states integrate health and foreign policymaking. This paper explores what these policies intend to do and how countries plan to do it.White Paper on Global health in foreign and development policy and the Swiss Health Foreign Policy using Schneider and Ingram's policy design framework. After replicating analysis methods for each document, we analysed them side by side to explore the commonalities and differences across elements of NPGH design.Using a most similar systems design, we carried out a comparative study of two policy documents formally adopted in 2012. We conducted a directed qualitative content analysis of the Norwegian Analyses indicate that NPGH expect to influence change outside their borders. Targeting the international level, they aim to affect policy venues, multilateral partnerships and international institutions. Instruments for supporting desired changes are primarily those of health diplomacy, proposed as a tool for negotiating interests and objectives for global health between multiple sectors, used internally in Switzerland and externally in Norway.Findings suggest that NPGH designs contribute to constructing the global health governance system by identifying it as a policy target, and policy instruments may elude the health sector actors unless implementation rules explicitly include them. Research should explore how future NPGH designs may construct different kinds of targets as politicised groups of actors on which national governments seek to exercise influence for global health decision-making. The adoption of global health strategies by some governments in European countries over the past decade represents a formalised approach to health and foreign policymaking at the national level.Case studies on the development of the UK's and Germany's global health strategies have contributed to understanding the motivations and interests for their production in those countries.Little is known about the content of these documents regarding what they propose to do from a public policy perspective.Actors at the international level that make policy are targets for countries to influence change related to global health;Health diplomacy is an instrument countries use either domestically or internationally for supporting the desired change related to global health;The specification of rules for implementing NPGH varies between these policy documents.Based on a comparative analysis of formally adopted national policy on global health (NPGH) documents in Norway and Switzerland:Actors in the global health governance system are the target population intended to benefit from change as a result of implementing NPGH.When policy instruments are unfamiliar to or outside of the mandate of actors in the health sector, the implementation of NPGH may exclude structures from the health sector unless rules specifically include them.An empirically informed definition of NPGH is proposed for researchers and policymakers.The Oslo Ministerial DeclarationWe define NPGH as policies that aim to organise and co-ordinate a state's action on global health across more than one sector of public administration, as part of a coherent approach to policy development and implementation between relevant ministries involved in improving health on a global scale.24By questioning what NPGH intends to change and how it plans to accomplish this, we aim to better understand the multilevel and multisectoral empirical characteristics of such policies. First, NPGH requires domestic actors to collaborate to improve health globally, but it remains unspecified where change is expected . Second, NPGH demands that the health sector collaborates with the foreign affairs and the development sectors, but we do not know whether the goals and methods of intervention will be those of the health sector or of another sector. To this end, we study NPGH with tools of health political science, a field of research that uses theories from political science in health policy research to generate knowledge about policy change in matters related to public health.25In policy science, policy design is generally conceptualised either procedurally or substantively .We conducted a comparative study of the content in cases of NPGH policy design from two countries. In this study, we define a case of NPGH policy design as a formally adopted policy document at the highest level of government.Using three criteria , we selected cases of NPGH policy design adopted in 2012 by Norway and Switzerland from a group of four countries in Europe who have adopted such policies.In line with other studies on health and foreign policies that identify a single policy document as a country's policy framework for its national global health strategy,We manually coded text of the two policy documents using Schneider and Ingram's six elements of policy designWhite Paper on Global health in foreign and development policySwiss Health Foreign PolicyNorway's The Norwegian and Swiss policies aim to act on the global health governance system by influencing change in policy venues, international institutions, networks and partnership structures where decisions about global health policy and programmes are made. The main targets for the Norwegian policy are international policymaking arenas where political and economic support are mobilised for global health such as United Nations agencies ), the World Bank, Global Health Initiatives (GHI) , Global Fund to fight AIDS, Tuberculosis and Malaria (GFATM)), financing mechanisms , Global Environment Facility (GEF)) and multilateral partnerships ) support information sharing across the entire Swiss public administration and the coproduction of policy guidance , the document's section 6 \u2018Perspectives on the future\u2019 explores the challenge of further developing \u2018a coherent Norwegian global health policy\u2019 see ref. p. 46 thThe rules for implementation in the Swiss policy are administrative because they provide the procedures for working across federal departments . The rules define how the co-ordination of the interdepartmental structures is part of a collaborative process for overseeing implementation of policy-related activities . A plurality of actors representing competing normative frameworks vie for policy attention and resources to support respective agendas for global health action in the global health governance system.52\u201354Both NPGH designs portray WHO, UN agencies, the World Bank, health-related multilateral organisations, and GHI and public\u2013private partnerships as key institutions for health and arenas for political mobilisation to support technical advancements in global health. Schneider and Ingram propose that groups targeted by public policy are depicted in normative terms because policy design contributes to the social construction of policy targets.Second, the implementation of NPGH may be elusive to health sector actors. Although both NPGH designs construct similar target populations, different instruments to reach them relate to who is responsible for implementation and according to what rules. Policy instruments are technical and social devices representing knowledge about how to coerce or enable a change in the target population.health and foreign affairs sectors are not homogenous groups of actors or expertise; diverse subgroups compose each sector . One caveat of conducting directed qualitative content analysis of policy documents is limitation for understanding the policy processes, negotiations between sectors and subsectors, and trade-offs in the content's production.These results and their implications for public health must be considered within the methodological and theoretical limitations of our analysis. The narrow concept of policy design we used confines the scope of policy content to texts of adopted NPGH strategy documents. This is an incomplete picture of content as theorised by Schneider and Ingram. Symbolic forms of content could be collected through interviews and other materials, but our analysis focused on single policy documents from two countries. Our deductive approach to using Schneider and Ingram's policy design elements also imposed limits. By applying generic categories of design elements to explore the content of NPGH documents, we might have omitted issues of focus in global health policy. For example, our analysis excludes discussion pertaining to the meaning of global health in NPGH and global health priority topics promoted by states for attention in the system of global health governance . Research has explained why certain policy issues receive political attention over others in the global health agenda,Global health policy and governance research generally focuses on how different frames of global health construct policy problems and legitimise the knowledge, actors and resources associated with their solutions.While there is no consensus on the understanding and use of the term global health governance in scholarship or practice,"}
+{"text": "Rana pipiens), is cytostatic and cytotoxic to variety tumor cell lines, inhibits growth of tumors in model animals and advanced to clinical trials as anticancer and antiviral drug [Onconase , a 12 kD ribonuclease from oocytes of northern leopard frogs (ral drug .et al., [In this issue of Oncotarget Vert et al., report oet al., explorinet al., .via decreasing resistance to apoptosis [The findings that ATF3 is the Onc target are in accordance with earlier reports that activation of ATF3 by other than Onc means triggers signaling pathways that lead to apoptosis in different types of cancers. Of particular interest are observations that overexpression of ATF3 increases cell sensitivity to variety of anticancer drugs. Thus, there is a remarkable correspondence between the mentioned above effects of ATF3 and Onc as factors increasing sensitivity of cancer cells to other treatments. Namely, dozens of papers describing ability of Onc to sensitize cancer cells to different anticancer drugs are recorded in PubMed. In some of these publications Onc is proposed to be used as an adjunctive therapy to amplify effectiveness of the primary treatment. The suppression of NF-kB by Onc was advanced to explain its ability to sensitize cancer cells poptosis . The invpoptosis .The noncoding RNA that provides regulation of genes activity via RNAi appears to be the potential primary target of this Onc. It was already demonstrated that Onc is able to attack siRNA within the cell and activate the siRNA-suppressed gene . It is pvia RNAi by Onc does not preclude the eventuality that other RNA species are targets of Onc as well. Both rRNA and tRNA have been shown degraded by Onc. Our early data on human submaxillary carcinoma A-253 and colon adenocarcinoma Colo 320 CM cells indicated that in addition to reduced clonogenicity the size of individual cells as well of cell clones was substantially smaller in the Onc treated cultures [Activation of ATF3 cultures however"}
+{"text": "To evaluate the success of ultrasonography directed renal access in entering the target calyx from proper entry site and in the direction of renal pelvis during percutaneous nephrolithotomy (PCNL).PCNL cases who were operated on by one fellow from May-June 2014 were included in this study. A vertically placed ultrasound probe on the patient flank in prone position was used to identify the preselected target calyx. Needle was advanced through needle holder and fluoroscopy was used to document the entered calyx, site and angle of entry.Successful entering to the target calyx was achieved in 43 cases (91%). Successful entry with appropriate entry site and angle was observed in 34 cases (72%). Reasons for failure were minimal hydronephrosis, upper pole access and high lying kidneys.Although it is feasible to access a preselected calyx by ultrasonography guidance during PCNL, but entry to the calyx from the appropriate site and direction is another problem and needs more experience. In cases of minimal hydronephrosis, superior pole access or high lying kidneys, ultrasonography is less successful and should be used with care. Percutaneous nephrolithotomy (PCNL) is now the treatment of choice for surgical management of large renal stones. Fluoroscopy has traditionally been the method for obtaining access to the pelvicalyceal system. Later ultrasonography access to the pelvicalyceal system has been introduced and popularised by some researchers \u20138. It haA perfect percutaneous access tract to the pelvicalyceal system should be made through the tip of renal papilla in the targeted calyx and to be along the axis of renal calyx so that The aim of this study was to access the effectiveness of ultrasonography guided PCNL renal access in entering the targeted calyx and in the direction of renal pelvis.Patients who were candidate for PCNL in Labbafinejad Hospital and were operated by one fellow during May-June 2014 were included. PCNL cases included patients with large renal stones (>2cm) or patients with renal stones >1.5cm in horseshoe kidneys. No specific exclusion criteria were applied and typical cases for PCNL within the study period were included. The operating fellow had prior experience in fluoroscopy guided PCNL (>400 cases) and in ultrasonography guided PCNL (>50 cases). PCNL was done according to the standard protocol described before . In brieIn this study proper entry site into renal calyx was defined as entry from the surface of renal papillae and not from the lateral walls of the calyx or any other entry sites. Proper entry direction was defined as the direction or angle that leads to renal pelvis . Tract wPlacement of nephrostomy or removal of ureteral catheter was done according to the judgement of the attending surgeons.The ethics of this study was approved by the local committee institutional board review. All patients were informed about the study and informed consent obtained.52 patients were enrolled during the study period. 5 patients were excluded from the study and their data is not presented in the below sections. Reasons for exclusion from the study were: fat body resulting in poor ultrasonic view of the kidney (1 patient), ectopic kidney with poor ultrasonic view (1 patient), high lying kidneys with poor longitudinal ultrasonic view because of rib shadows or stones in superior calices making ultrasonic view of the stone by ultrasonic probe in longitudinal view difficult (3 cases).Details of the 47 remaining patients and their operations have been outlined in A perfect access for PCNL should pass from the papillae into the collecting system and direction of the needle path should be coincident with the long axis of the target calyx . There hIn this study, we observed a high success rate for entering targeted calyx by ultrasonography guided renal access. Reasons for failure were: 1) minimal/no hydronephrosis in the target calyx. The absence of hydronephrosis makes identification of the stone and its surrounding calyx difficult on ultrasonography especially by less experienced urology surgeons. We usually inject normal saline through ureteral catheter in patients with nil-minimal hydronephrosis to augment the magnitude of hydronephrosis during the access phase of the operation. Another alternative can be injection of diuretic agents before the access phase so that the access time is roughly in the peak action duration of the diuretic agent 2). Failure to enter the preselected calyx was less often observed in lower calices in comparison with middle to upper calices. Therefore, in difficult or borderline cases, selection of lower calyx for entry especially in equivocal cases may be associated with a higher success rate. As illustrated in the methods section, appropriate entry site in this study was defined as the convex area of the tip of the calyx and not its lateral walls . ReasonsIn univariate analysis, right side PCNLs were associated with more frequent false entry sites . After pIn order to use ultrasonography for taking access in PCNL, there should be a clear view of the kidney calices on ultrasonography monitor. In situations in which this image is not clear, the success of ultrasonography in properly targeting the access calyx, its entry site or entry angle can be impaired. In our limited experience, this scenario happened in the following situations 1). A very fat patient with normal lying kidney with a 2cm stone in the lower calyx, 2) One muscular patient with body mass index of 27 with low lying mal-rotated kidney with a pelvis stone, 3) Three patients with stones in middle or upper kidney calices so that when the ultrasonography probe was placed longitudinally beneath the ribs, the view of the whole kidney or the segment containing the stone was not clear. In a few cases we tried to overcome this problem by angling the ultrasonography probe end caudally and pressing it on the patient back below the ribs but in these cases, this simple manoeuver could not solve the problem. Nevertheless, in such cases it is possible to obtain access to lower calyx without the need to observe the calices containing stones on ultrasonography monitor and then perform PCNL. In the protocol of the current study, we requested to have the image of kidney calices and containing stones which was not possible in the above cases but just for the sake of performing PCNL, it is enough to obtain ultrasonography guided access through a lower calyx and then perform PCNL by rigid or flexible nephroscope. Having mentioned these solutions, we think it is still safer to have fluoroscopy equipment at hand in such cases in case of failed ultrasonography guided access.We do acknowledge the operator dependency of ultrasonography a limitation of the results of this study. The experience of the operator can influence the obtained results. Nevertheless, there has been a publication by Japtag et al. in which the guidance of access by fluoroscopy versus ultrasonography yielded similar outcomes in hands of a trainee urologist with little prior experience in PCNL . It is nAlthough it is feasible to access a preselected calyx by ultrasonography guidance during PCNL, but entry to the calyx from the appropriate site and direction is another problem and needs more experience. In patients with minimal hydronephrosis, upper pole access or high lying kidneys this success rate is lower or the entry site into the calyx is less perfect. In such cases, it is advisable to have fluoroscopy equipment at hand."}
+{"text": "General practitioner attitude questionnaires were sent in May 1987 to 525 general practitioners (GPs) within Avon. A year later a section dealing with the management of clinical situations was sent to 198 Avon consultants, to determine how they would ideally expect a GP to respond to these situations.The majority of both the GPs and consultants held a common viewpoint, but significant differences were noted between the consultants and GPs in six out of the ten situations. Consultants with more than six months' GP experience had fewer significantly different views than their colleagues with little or no GP experience. GPs and specialists under the age of 45 years also had fewer significant differences in management than older GPs and specialists. The differences seem to reflect the clinical focus and interests of each professional group. We believe vocational training is a contributory factor to the differences and support the General Medical Council's proposal of a broader post registration training for all doctors."}
+{"text": "The complex nature of studying health and healthcare disparities in general, and in the context of the Israeli healthcare system in particular, is depicted in two recent IJHPR articles. The first examines Emergency Department (ED)\u00a0waiting times in a tertiary children\u2019s hospital and the second examines disparities in the health care for people with schizophrenia of an ethnic-national minority. Contrary to other Israeli studies on wide disparities in health and healthcare, these studies show no disparities -\u00a0 ED waiting times did not differ among Arab and Jewish children and report no differences in performance of Hemoglobin A1C tests or in surgical interventions in patients with cardiovascular\u00a0disease between Arabs and Jews with schizophrenia. Thus, the studies reflect areas of equitable health care delivery within the Israeli healthcare system.Future studies should account for the fact that the phenomena of health and healthcare disparities is complex and should utilize rigorous methodologies to take into consideration the various factors that may affect the manifestation of differences amongst population groups. As a result, they may help detect disparities which may otherwise be missed. Two recent Israel Journal of Health Policy Research articles depict the complex nature of studying health and healthcare disparities in general and in the context of the Israeli healthcare system in particular. Feldman and colleagues studied The two papers present an impressive platform for the study of ethnic disparities within vulnerable population groups, namely children and patiThese findings should be evaluated in light of the multifaceted makeup of the Israeli society and its healthcare system, within a comprehensive approach that accounts for the various types of interrelated social determinants of health and the Despite universal coverage and a national health insurance law in Israel since 1995, a wide-array of gaps in health care service use have been extensively documented, including, as also exemplified by Gal and colleagues , lower rThe null findings regarding disparities in most of the indicators reported by Gal and colleagues may reflHowever, it is not possible to rule out that the lack of disparities reported by Gal and collThe lack of disparities reported by Feldman and colleagues presentsAdditionally, Feldman and colleagues address a potential reason for disparities in waiting times by differentially examining waiting times by ethnic concordance. Contrary to other studies, concordance between providers and patients was not related to differentiated waiting times. For example, in a study on patient-provider language concordance and the quality of transitional care in oncology patients at the same hospital , Rayan et al. report that language concordance was associated with higher ratings of the care transition experience by Arab and immigrant minority groups compared with the general Hebrew speaking population .To conclude, the findings on the mainly lack of differences amongst Arabs and Jews in treatment of chronic comorbidities in schizophrenia patients and in pThe phenomena of health and healthcare disparities is complex and should utilize rigorous methodologies to account for the various factors that may affect the manifestation of differences amongst population groups. Rigorous methodology may help detect disparities which may otherwise be missed."}
+{"text": "The majority of these designs have reused naturally occurring protein structures as \u2018scaffolds\u2019 onto which novel functionality can be grafted without having to redesign the backbone structure. The incorporation of backbone flexibility into protein design is a much more computationally challenging problem due to the greatly increased search space, but promises to remove the limitations of reusing natural protein scaffolds. In this review, we outline the principles of computational protein design methods and discuss recent efforts to consider backbone plasticity in the design process.The computational algorithms used in the design of artificial proteins have become increasingly sophisticated in recent years, producing a series of remarkable successes. The most dramatic of these is the No new data was created during the course of this research.The Authors declare that there are no competing interests associated with the manuscript."}
+{"text": "We thank Morfeld and Erren for their continued interest in the WHO Health risks of air pollution in Europe (HRAPIE) report (WHO Regional Office for Europe The HRAPIE report itself clearly spells out the limitations of calculating \u2018premature deaths\u2019, on pages 15 and 16 (WHO Regional Office for Europe Appreciating the limitations of death counts as a metric for quantifying disease burden due to exposure to air pollution and other risk factors, the widely cited global burden of disease exercises have since their inception quantified such burdens both in terms of the number of deaths in a given year attributable to past exposure and in terms of lost years of healthy life, or DALYs (Murray and Lopez We appreciate the opportunity for clarification of the HRAPIE report, article, and first response and agree with Morfeld and Erren that estimated burdens of disease attributed to air pollution need to be correctly interpreted in the context as explained in more detail above and in the quoted references."}
+{"text": "Imprinted genes are a subset of genes that are expressed from only one of the parental alleles. The majority of imprinted genes have roles in growth regulation and are, therefore, potential oncogenes or tumour suppressors. Cancer is a disease of aberrant cell growth and is characterised by genetic mutations and epigenetic changes such as DNA methylation. The mechanisms whereby imprinting is maintained in somatic cells and then erased and reset in the germline parallels epigenetic changes that cancer cells undergo. This review summarises what we know about imprinting in stem cells and how loss of imprinting may contribute to neoplasia."}
+{"text": "The use of non-invasive brain stimulation (NBS) such as transcranial magnetic stimulation (TMS) and direct current stimulation (tDCS) has significantly advanced our understanding of the mechanisms underpinning motor and cognitive processes in the brain. Repetitive TMS (rTMS) and tDCS have the potential to induce bidirectional changes in cortical excitability and lasting neuroplastic effects that are dependent on the nature and parameters of the stimulation used . For insIn particular, the application of interventional forms of NBS in neurological disorders such as Parkinson\u2019s disease (PD) has been viewed with great interest. PD is a chronic neurodegenerative condition that stems from a loss of dopamine-producing neurons in the substantia nigra within the basal ganglia (BG) . While tApart from changes in intracortical excitatory and inhibitory neural circuitry, PD is associated with pathological neural oscillations that are thought to underpin motor dysfunction . While mInterventional forms of NBS can have a positive effect on motor and cognitive function that is likely to be driven by a change in cortical excitability of specific brain areas . To dateOf interest, variant forms of NBS, which are frequency specific such as transcranial alternating current stimulation (tACS), are gaining increasing interest for their ability to induce lasting neuroplastic and functional change . tACS isWhile there is some evidence to support the concept that neural entrainment using tACS improves motor function in healthy individuals , 36, theTo this end, we acknowledge that the scarcity of information surrounding the effects of tACS on neural entrainment limits our interpretation of early studies in healthy individuals and people with PD. Research into the therapeutic potential of tACS is still in its early days, and there is much that is not known about the causal relationship between dysfunctions in neural oscillations and specific motor and cognitive deficits in PD. While studies by Brittain et al. and KrauAll the authors contributed equally to the manuscript.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Staphylococcus aureus infection as well as replication studies in well-characterized patient cohorts may improve our understanding of the potential role of inflammation in disease pathogenesis and open up new avenues of therapeutic intervention.The author confirms being the sole contributor of this work and approved it for publication.The author declares that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "In April 2013, a case of wild polio virus (WPV) was detected in the Somalia capital Mogadishu. This inaugurated what is now referred to as the 2013-2014 Horn of Africa Polio outbreak with cases reported in Somalia, Kenya and Ethiopia. By the notification of the last polio case in August 2014, 223 cases of WPV had been reported in Somalia, Kenya and Ethiopia of which 199 in Somalia alone. The outbreak response required timely exchange of information between the outbreak response coordination unit (in Nairobi) and local staff located in multiple locations inside the country. The need to track and timely respond to information requests, to satisfy the information/data needs of polio partners and to track key outbreak response performance indicators dictated the need to urgently set up an online dashboard. The Somalia Polio Room dashboard provided a graphical display of the polio outbreak data to track progress and inform decision making. The system was designed using free and open sources components and seamlessly integrated existing polio surveillance data for real time monitoring of key outbreak response performance indicators. In this article, we describe the design and operation of an electronic dashboard for disease surveillance in an outbreak situation and used the lessons learned to propose key design considerations and functional requirements for online electronic dashboards for disease outbreak response. Polio is a disease targeted for elimination since 1988 when the World Health Assembly voted to eradicated polio . In ApriIn a management and information system standpoint, a dashboard is \u201can easy to read, often single page, real-time user interface, showing a graphical presentation of the current status (snapshot) and historical trends\u201d . StephenPolio outbreak response is data and information intensive. Timely and accurate information from field activities are required 1) to monitor key performance indicators to measure progress towards planned goals and timely identified deviations from planned goals and implement corrective measures; and 2) to assess the impact of outbreak response activities. Dashboards are not new in public health; however, their use in disease outbreak response at country level by national programs is not very well documented. Notable examples of the use of dashboards include multiscreen displays of disease and outbreak information at the Centers for Disease Control Emergency Operation Centers or at thData inputs: the system was designed to use acute flaccid paralysis (AFP) data as the primary data source. AFP describes a sudden onset of weakness or paralysis, affecting mostly motor muscles of lower limbs in children. AFP is the main clinical presentation of poliomyelitis disease [ disease . PatientThe AFP database served as the primary source of data for the dashboard to avoid interfering with ongoing AFP surveillance and data entry processes; no new data source was created or required. A tab-separated text file containing selected AFP data elements was generated from the AFP main database and imported into the system. On upload, the text file was processed and the key data elements stored in a table in the MySQL database. To accommodate for early notification of cases, a user protected area allowed for the manual entry of AFP cases by surveillance officers located in districts through a customized online form. Additional data streams used by the system are shown on Geo-mapping: the systems integrates Google Map API to display the location of AFP cases. Since geolocation information of AFP cases are not available, we used the latitude and longitude coordinates of the capital city of district of residence of the AFP case as a proxy to the geolocation of the AFP case. The altitude and longitude data of all district city capitals were extracted from the geo-name server table [er table for SomaGraphical display: the visual interface of the system was specifically designed for display on high resolution/large monitors in the outbreak control room located in the WHO Somalia Liaison Office in Nairobi. Six rich individual displays existed and combined maps, graphs and tables summarizing the current status of outbreak response and AFP surveillance activities. During its 15 months of existence (July 2013 to Oct 2014), the Somalia Polio Room Dashboard, by integrating various outbreak and surveillance response data sources into rich graphical interfaces provided an easy-to-read information to polio outbreak response managers, responders and immunization partners located in various areas inside and outside of the organization. A polio outbreak response involves a multitude of players at various levels of the same organization or outside of the organization. The ongoing analysis and sharing of information with all these players can place an undue burden on surveillance staff and data managers. With the Somalia Polio Room Dashboard, we were able to reduce the need of daily analysis and sharing of outbreak information, thereby release surveillance staff from the need to response to multiple information requests from various sources.The methodological innovation of the system can be viewed at various levels: 1) we demonstrated the possibility of designing, at country level, an effective data visualisation tool using available and free technology in a limited amount of time; 2) we demonstrated that the use of a visualisation tool accessible to all partners can significantly reduce the time spent on routine analysis and other reports.Lessons learned on key considerations for dashboards for outbreak response In his 2006 essay on dashboard design, Stephen Few provided 13 pitfalls for dashboard design [d design . These pThe need for a dashboard is established: are existing data visualization, analysis and sharing mechanisms and tools sufficient or is there a clear need for additional or expanded data visualization tools? Knowing who has interest in accessing the dashboard should be the main determinant of whether or not to pursue the project of developing a dashboardcritical advantages over existing data exchange mechanisms and formatsThe dashboard should provide The need of the dashboard should be established for a reasonable period of time: establishing that the need for a dashboard will be sustained for an acceptable period of time should help decide whether investing time and efforts into the development of a dashboard is warrantedStructured and regularly updated data streams exist: to feed the need to constantly update the rich visual display of the dashboard; a dashboard that is not updated regularly loses its appeal. The dashboard should use existing data and should not require new data collection processesThe workload and skills required to update and operate the dashboard should be nil to minimal on the outbreak response staff: during an outbreak, the surveillance staff including data managers and data entry clerks are overburdened and should not be distracted by new processes or long trainings on how to operate the dashboardThe dashboard should be designed for scalability and flexibility: and should easily accommodate the changing information requirements of the outbreak response; it should be easy to add, remove or modify the visual display or other processesopen sources or free technology and web-services to minimize the cost of the dashboard developmentUse of available, preferably We have demonstrated that it is possible to develop an online electronic dashboard for outbreak response using existing open source and free tools. The development of such dashboard requires technical expertise but should also be carefully examined in the light of the considerations we identified. The Somalia Polio Room Dashboard clearly demonstrates the usefulness of electronic dashboard in outbreak response through their ability to improve information sharing and minimize the time spent on multiple information requests; their use should therefore be encouraged. The technical expertise in computer programming, data management and software design required to set-up functional and useful electronic dashboards remains a limitation. To address these limitations, technical partners including WHO should develop and avail ready-to-use/easy-to-setup dashboards for outbreak response.The authors declare no competing interests."}
+{"text": "In this study we used a model of adult learning to explore undergraduate students\u2019 views on how to improve the teaching of research methods and biostatistics.This was a secondary analysis of survey data of 600 undergraduate students from three medical schools in Uganda. The analysis looked at student's responses to an open ended section of a questionnaire on their views on undergraduate teaching of research methods and biostatistics. Qualitative phenomenological data analysis was done with a bias towards principles of adult learning.Students appreciated the importance of learning research methods and biostatistics as a way of understanding research problems; appropriately interpreting statistical concepts during their training and post-qualification practice; and translating the knowledge acquired. Stressful teaching environment and inadequate educational resource materials were identified as impediments to effective learning. Suggestions for improved learning included: early and continuous exposure to the course; more active and practical approach to teaching; and a need for mentorship.The current methods of teaching research methods and biostatistics leave most of the students in the dissonance phase of learning resulting in none or poor student engagement that results in a failure to comprehend and/or appreciate the principles governing the use of different research methods. Research is globally recognised as a major output of universities and other institutions of higher education. On the other hand the teaching of research methods has received a limited amount of attention , 2. AlsoPlease suggest any ways in which your undergraduate teaching in research methods and statistics could have been more useful?\u201d. It is important to note that the pharmacy and nursing programs have a research project as a requirement for the award of the degree at all the three universities. The students\u2019 responses were previously captured verbatim in Epidata and then exported to Microsoft word for editing before being saved as a single text file for analysis. The responses were then subjected to qualitative phenomenological data analysis informed by the model of adult learning proposed by Taylor and Hamdy (2013) [This was a secondary analysis of undergraduate student's survey data from three purposively selected public medical schools in Uganda namely: Makerere University College of Health Sciences (MakCHS), Gulu University (GU) and Mbarara University of Science and Technology (MUST) . All they (2013) , using ay (2013) , 19. The\u201cSometimes we carry out research and fail to analyse or understand it because of very little or no information on biostatistics\u201d2nd year Female Medical Radiology student.There were 600 respondents to this survey of whom 516 responded to the open-ended question. \u201cUndergraduate teaching in research methods provides a unique opportunity to follow your interest in an area of research to focus on this for several years and make an impact\u201d 3rd year Male Medical Radiology student. The items coded under relevance pointed to the students desire to understand why they were learning the research methods now. In summary the students thought the teaching of research methods would make the teaching of other subjects more relevant, promote the use of a common scientific language, impact the communities from which the students came from and make journal reading easier. Also under relevance the students wanted to see the societies they got the information from benefiting from the research findings as captured in this quotation: \u201cIt could be more useful if the statistics obtained were used to improve health in the regions from which the statistics were obtained\u201d 2nd year Male Medical Radiology student. The next code was on teaching with 44 codings. In this code student concerns on who was teaching the course were identified. The concerns ranged from the level of expertise of the teacher to how the teachers presented their material. Some of the students desired to learn the material under less stressful learning conditions for example in the morning as opposed to before lunch as seen in this quotation. \u201cIf only they (lectures) can be before lunchtime with more vibrant lecturers and a bit practical it would help\u201d 4th year medical student The next frequently cited code in this item was the courses with 41 codings. The students thought that the course material should be delivered as a stand-alone mandatory course with clear course content and examination leading to credits that appear on their transcript. Some of the student even suggested that a department should be created in the university to handle the teaching of research methods and biostatistics. The last code under dissonance was content with 28 codings. In this code student's suggestion for additional content in the form of exams, books available, software and scheduling were captured. The students also suggested that the exposure to this content should be repeated with increasing detail for deeper learning as they matured in their academic programs (see \u201cIf we had data collection practically immediately after studying the theory and not wait for years\u201d 1st year female medical student.The next most frequently identified code in this theme was time with 76 codings see . In thisrams see . The nexrams see . The opp\u201cLecturers who understand that field\u201d 3rd year male medical student The last theme was that corresponding to the consolidation phase of the adult learning model [\u201cBiostatistics learning should be gradual right from year 1 semester 1 and should be applied more prominently in COBES\u201d 2nd year female pharmacy student.The next code group in this theme was mentorship with 24 codings. In mentorship students identified the need for opportunities for guided practical learning through involvement in departmental research, or engagement in the activities of different research organizations as a form of mentorship. Learning to do research in an area of interest to the mentor would result in greater mentor engagement in the learning process. This engagement is driven by the quality of feedback the mentor provides. The students linked the quality of feedback to the level of interest the mentor had in the area of research. ng model . In thisThis study set out to explore students\u2019 views on how to improve the teaching of research methods and biostatistics at three Ugandan public universities. The students who participated in the study appreciated the importance of learning research methods and biostatistics as a way of understanding research problems and appropriately interpreting statistical concepts during their training and post-qualification practice. They also identified the limited time allotted to teaching and inadequate educational resource materials as the main impediments to effective learning of research methods and biostatistics. They proposed several suggestions on ways to improve the teaching and learning of research methods and, ways of effectively utilizing the little time allotted to this course with a strong emphasis on putting what is learned into immediate practice as expected according to the principles of adult learning . Health \u201cBiostatistics learning should be gradual right from year 1 semester 1 and should be applied more prominently in COBES\u201d. Some of the shortcomings of this study included the use of inherently biased qualitative approach for the analysis of short open-ended responses to the probe question. Whereas the results of the analysis are very context specific, the number of respondents created an opportunity to do tallies that can be used as a rough indicator of where the institutions represented in the study lie with respect to the used adult learning model. Future studies may need to use more in-depth approaches involving more stakeholders. Despite the shortcomings the study findings are relevant at both the institutional and individual levels. For the student, it is important to foster student interest in research methods. The ease of understanding statistical and research concepts is directly dependent on the student's interest in the subject [Another example of the students identifying adult approaches to learning is seen in suggestions to increase learning and developing durable skills in critical appraisal and statistical interpretation. Students proposed early and continuous exposure to research methods throughout the course of their academic programs. This they suggested should be complemented with; additional web based educational resource materials; and more hands-on practical teaching approaches such as case study interpretation, participation in research and publication writing. As students mature they become more independent and self-directed. Thus, they have to practice as this is the most effective way of teaching and mastering statistical skills . Some au subject . Since m subject .This study has highlighted several challenges faced by students in public universities in learning research methods and biostatistics. In view of the large number of suggestions clustered under the dissonance phase of learning we conclude that the current teaching of research methods is not adequately engaging students in the learning process. This has resulted in the students\u2019 failure to comprehend and appreciate the underlying principles governing the use of the various research methods. There is thus a need for the participating institutions to make individual learner and institutional adjustments to align the teaching of research methods with their vision and mission statements.Health professional training curricula have increasingly become congested leading to the allocation of inadequate time to hands-on teaching of research methods and related research statistical approaches;Much of the university teaching on research methods focuses more on knowledge transfer, while giving little or no attention to context and application of the acquired knowledge;Students\u2019 research outputs count greatly to research related status of most institutions of higher education, thus keeping track of student\u2019 research related expectations and performance is a key quality control measure.The current methods of teaching research methods leave most of the students in the dissonance phase of learning resulting in none or poor student engagement that results in a failure to comprehend and/or appreciate the principles governing the use of different research methods;Research methods and biostatistics should be delivered as a stand-alone mandatory course with clear course content and examination leading to credits that appear on academic transcript;Individual learners and academic institutions should make adjustments to align the teaching of research methods with their vision and mission statements."}
+{"text": "Primary emotional systems and personality Christian Montag and Jaak Panksepp analyze how emotional systems are involved into the development of basic personality into an evolutionary framework. They also stress the importance of such investigation for the promotion of human welfare in the context of psychiatric research and practice . Sentiments and character do not exactly overlap with emotions and personality because they are the product of social interactions, civilization processes, and reflective activities . Highlighting the mechanism underlying personality development and its link to emotions can offer a solid ground for empirically tenable views on moral education. The interest of this last topic is not purely theoretical, but progress in this field could foster human welfare (as recommended by Montag and Panksepp themselves). Here it is not possible to argument, but it is very likely that an empirically informed sentimentalist view would strongly discourage rigoristic views of moral education and would confirm Hume's ideas about the so called \u201cmonkish virtues\u201d Davie, . A scienThe author confirms being the sole contributor of this work and approved it for publication.The author declares that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "The objective of this study was to compare performance on different versions of the running span task, and to examine the relationship between task performance and tests of episodic memory and executive function. We found that the average capacity of the running span was approximately 4 digits, and at long sequence lengths, performance was no longer affected by varying the running span window. Both episodic and executive function measures correlated with short and long running spans, suggesting that a simple dissociation between immediate memory and executive processes in short and long running digit span tasks may not be warranted."}
+{"text": "Physical activity promotion has met with limited success across a range of demographic indicators, largely due to our poor understanding of how drivers of physical activity behaviours vary by context and setting . DespiteNine articles focused on physical activity among children and adolescents. Best and colleagues addressed the methodological issue of measurement heterogeneity by exploring predictors of children\u2019s physical activity that emerge regardless of whether objective or self-reported physical activity data are considered. Enjoyment, parent support and availability of sport facilities emerged as consistent predictors, suggesting that these factors should be prioritized as intervention and policy targets. The challenges of integrating physical activity options into school curriculum were addressed in a qualitative study reported by van den Berg and colleagues who interviewed primary school teachers and principals in The Netherlands. The battle for curriculum time, also reported elsewhere was evidThe majority of studies of adult physical activity focused on aspects of the built environment, with two studies examining this from a socioeconomic perspective. Zandiah and colleagues used Geographic Positioning System technology to compare high and low SES neighborhoods in The Netherlands on components of walkability for older adults. Disparities in walking across SES gradients could be related to availability of green spaces and recreation centres. Highlighting the need to consider influences of physical activity in context, Micklesfield and colleagues reported that the influence of SES on physical activity among young South African women depended on whether they lived in urban or rural areas. In accord with this observation, Berry and colleagues found that neighbourhood walkability was directly associated with walking behaviour in urban but not rural Australian adults. The authors suggested that context-specific measures of walkability need to be developed to better understand the environmental influences that seem to be unique to rural settings. The challenges of promoting physical activity in rural areas of the USA were investigated by Lo et al., with residents\u2019 preferences for structured and socially supportive settings discussed against a backdrop of limited resources to effect rapid change in these communities. The authors suggested that small, staged improvements to existing features were key to meeting substantial longer term targets. Costigan and colleagues identified features of public parks that should be targeted for improvement in their study of park use for recreational physical activity among Australian adults. Ease of access, provision of shade, safety and regular maintenance were strongly supported. Interestingly, the availability of recreational dancing in public parks was associated with overall physical activity among Colombian women, as reported by Sarmiento et al. All but one of the studies of built environment influences on physical activity were cross-sectional in design and therefore unable to identify the impact of changing salient environmental features on consequent physical activity behaviours. McCormack and colleagues\u2019 elegantly designed study tracked Canadians who changed residence in the previous 12 months, and confirmed a relationship between changed neighbourhood walkability and changes in active commuting. The only study of social influences on adult physical activity came from Westgarth and colleagues who provided intriguing evidence for a \u2018mutualistic\u2019 association among dog owners and their dogs during walking. Dog walkers were strongly motivated by the sense that the dog also enjoyed the experience, much more so than other potential influences such as exercise benefits and social interactions while walking.This collection of studies confirms that physical activity behaviours are shaped by all levels of the social ecological framework as well as interactions among these levels, resulting in a complex causal web of factors. To advance our understanding to the point that interventions targeting social and physical environmental influences on physical activity can be designed with confidence, research efforts need to continue to focus on context- and setting-specific factors that are amenable to change within demographic groups differentiated by age, gender, social disadvantage and geographic location."}
+{"text": "Robotic radical prostatectomy (RRP) has become an effective modality in the treatment of localized prostate cancer. We detail the experience at our institution and provide a perspective for future considerations of RRP with respect to improved preoperative imaging and surgical instrumentation."}
+{"text": "Paliperidone palmitate is a 2nd generation long-acting injectable (LAI) antipsychotic which is increasingly prescribed for patients with chronic schizophrenia. However, it is more expensive than 1st generation LAI antipsychotics and little is known about its effectiveness in a real world clinical setting. We sought to address this issue by analyzing a large electronic case register of patients with schizophrenia treated with LAI antipsychotics.Data were obtained from 1,281 patients in the South London and Maudsley NHS Foundation Trust (SLaM) Biomedical Research Centre (BRC) Case Register who were treated with an LAI antipsychotic between 1st April 2011 and 31st January 2015. The number of days spent as a psychiatric inpatient and the number of admissions to a psychiatric hospital were extracted using the Clinical Record Interactive Search tool (CRIS) and analyzed in each of the 3 years before and after LAI prescription using multivariable regression.Patients who received paliperidone palmitate spent more time in hospital and were admitted to hospital more frequently in the year prior to treatment than those treated with other LAI antipsychotics . However, there were no significant differences between paliperidone and the other LAI antipsychotics in the 3 years after initiation with respect to the number of days spent in hospital or frequency of hospital admissions .Paliperidone palmitate was more likely to be prescribed in patients with more severe illness, as indicated by a history of more frequent and lengthy hospital admissions prior to initiation. The absence of differences in outcomes after initiation indicates that the effectiveness of paliperidone palmitate was similar to that of other LAI antipsychotics. However, paliperidone palmitate may be better tolerated than other 1st generation LAI antipsychotics with a lower rate of discontinuation. These findings merit consideration in relation to the high cost of paliperidone palmitate compared to other LAI antipsychotics."}
+{"text": "One the most fundamental aspects of the human motor system is the hemispheric asymmetry seen in behavioral specialization. Hemispheric dominance can be inferred by a contralateral hand preference in grasping. Few studies have considered grasp orientation in the context of manual lateralization and none has looked at grasp orientation with natural prehension. Thirty right-handed adults performed precision grasps of a cylinder using the thumb and index fingers, and the opposition axis (OA) was defined as the line connecting these two contact points on the cylinder. Subjects made ten consecutive grasps with one hand (primary hand movements) followed by ten grasps with the other hand (trailing movements). Differences between primary and trailing grasps revealed that each hemisphere is capable of programming the orientation of the OA and that primary movements with the right hand significantly influenced OA orientation of the trailing left hand. These results extend the hemispheric dominance of the left hemisphere to the final positions of fingers during prehension."}
+{"text": "This paper concerns the ethics of human neuromodulation using transcranial magnetic stimulation (TMS). We examine the challenges of modulating the brain with TMS through the research ethics lens and in clinical medicine for treating frank pathology, primarily in psychiatric diseases. We also consider contemporary issues raised in the neuroethics literature about managing unexpected findings, and relate these to TMS and to other frontier neurotechnology that is becoming openly available in the public domain. We argue that safety and informed consent are of paramount importance for TMS, but that personal values and sociocultural factors must also be considered when examining the promise of this technology and applications that ought to be highlighted for extra precautions."}
+{"text": "Specifications TableValue of the data\u2022The data provided allows comparison of screening test results with previous editions, as they have been weighted for traffic intensity at selected sites.\u2022The large sample size of this survey means that results can be considered stable, and as representativeness was pursued in the sampling procedure, the data can be used for comparisons.1In this document we provide new data derived from 2015 roadside screening tests. Published results from previous editions of surveys conducted in Spain in 2008 and 2013 following the methodology set up in the framework of the European Union DRUID project (Driving Under the Influence of Drugs) 2Methodology for the three surveys has been already published. Detailed information about sample planning , driving recruitment, data collection and toxicological aspects can be found elsewhere 3Results from the 2015 survey are presented with the same format as used in the 2008 and 2013 survey publications Data is provided in"}
+{"text": "Persons with Down syndrome (DS) are at risk for a life of inactivity that can result in a multitude of medical problems including heart and vascular diseases. This review presents findings regarding the physical status of individuals with DS, as well as proper interventions found to improve the physical fitness and general health for this population. This review was written with the intent to suggest practical directions in planning and implementing quality physical intervention programs for this population."}
+{"text": "Complete avulsion of the ureter is one of the most serious complications of ureteroscopy. It requires open or laparoscopic intervention for repair. This case report emphasizes its management and presents recommendations for prevention in current urological practice."}
+{"text": "A large proportion of the vertebrate body is made of epithelial tissues; these provide organized barriers between organ compartments and also differentiate into glandular, secretory specializations , Wnt, fibroblast growth factor (FGF), and Notch (Kahata et\u00a0al., et\u00a0al., Important areas that remain open to investigation relate to the translation of the basic knowledge on EMT on various aspects of oncology. Are the EMT and MET truly important for cancer progression and metastasis or are they, as some studies have suggested (Fischer By combining the expertise of founders of the EMT field with younger investigators, this compendium aims at leading the research front and illuminating both scientists and the wider public that are interested in fundamental problems of oncology. Studies on EMT provide exciting clues about the evolution and adaptations that human tumors undergo through their history, a history that represents the awakening of embryonic developmental scenarios taking place in adult bodies over the trajectory of unpredictable genetic and environmental insults that characterize normal human life."}
+{"text": "Formation of urinary tract concrements is a common disease and steps should be taken in order to elucidate the underlying mechanisms and to give the patients appropriate advice and medical treatment. This present article summarizes the principles for recurrence preventive measures in patients with uric acid, infection, cystine and calcium stone disease. Categories of stone formers are identified with the aim of providing a basis for an individualised treatment with a reasonable patient's compliance. The recommendations are in line with those given by the EAU guideline group for urolithiasis."}
+{"text": "Pregnancy induces a variety of physiologic changes in the urinary tract. When such changes become accentuated the physiologic becomes the pathologic and symptoms arise, at times of significance enough to threaten the well being of mother and/or fetus. This article intends to describe the basis for urinary physiology and its pathologic counterparts during pregnancy. Such a background may then facilitate a rational management protocol for various urologic problems in the gravid state."}
+{"text": "We read with interest the study by Andrews et al. and the These findings raise questions regarding our understanding of the decision-making process of LMIC clinicians in the detection and management of the acutely unwell patient. Clinicians may be utilising additional cues in a manner different to their HIC contemporaries; such as the presence of relatives as carers at the bedside or a nursing decision to place a patient in a specific location in\u00a0the ward. Work done to evaluate the impact of setting-adapted practical training on the management of common emergencies in LMICs has highlighted the limited priority given to practising such skills in existing training programmes for both doctors and nurses , 5. It iGreater understanding is essential if we are to better influence the processes that contribute to acute and critical care mortality in LMIC settings. Mixed-method approaches combining qualitative techniques to capture clinicians\u2019 perceptions of the importance of clinical assessment alongside setting-adapted electronic tools to improve the capture of granular information of the patient journey\u2014currently being undertaken by our group in multiple LMIC settings\u2014could enrich our understanding of the management of acutely unwell patients. Greater understanding of these clinical priorities and their importance in acute care in diverse settings would offer valuable insights to inform subsequent trial design and the end points selected for evaluation."}
+{"text": "The construction site provides an unfriendly working conditions, exposing workers to one of the harshest environments at a workplace. In this dataset, a structured questionnaire was design directed to thirty-five (35) craftsmen selected through a purposive sampling technique on various construction sites in one of the most populous cities in sub-Saharan Africa. The set of descriptive statistics is presented with tables, stacked bar chats and pie charts. Common occupational health conditions affecting the cardiovascular, respiratory and musculoskeletal systems of craftsmen on construction sites were identified. The effects of occupational health hazards on craftsmen and on construction project performance can be determined when the data is analyzed. Moreover, contractors\u2019 commitment to occupational health and safety (OHS) can be obtained from the analysis of the survey data. Specifications TableValue of the data\u2022The dataset provided showed the empirical evidence of health challenges in the cardiovascular and respiratory systems including the musculoskeletal disorders experienced by craftsmen on construction sites.\u2022The understanding of the dataset sheds light on the effect of occupational health hazards on the well-being of the craftsmen and construction project performance.\u2022The dataset gives insight into the level of contractors\u2019 commitment to occupational health and safety (OHS).\u2022Construction activities and materials are crucial entities that can impact the body system when not handled in the standardized way, therefore, the dataset can guide policies on reducing occupational health hazards among craftsmen on construction sites.\u2022The structured questionnaire can be adopted or modified for similar research in a larger context in sub-Saharan Africa and other parts of the world. In addition, comparison can be drawn with other sectors where workers are more prone to be affected by working conditions and severe exposure to toxic materials.1The cardiovascular, respiratory and musculoskeletal systems are essential parts of the human body that could be severely affected by the un-friendly working conditions of construction sites and exposure to some chemical and toxic building materials 2This dataset is based on previous research conducted on occupational health hazards of craftsmen on construction sites"}
+{"text": "The data presented in this article are related to the research article entitled \"Plant richness enhances banana weevil regulation in a tropical agroecosystem by affecting a multitrophic food web \" [1]. It provides information about plant species richness, weevil corm damage and the abundance of different arthropod groups, including the banana weevil and its potential natural enemies and alternative preys. Specifications TableValue of the data\u2022The data is valuable for other researchers working on this pest or in similar scientific field because it offers them the opportunity to compare with their own datasets and/or to independently verify or extend statistical analyses.\u2022This data is a contribution to the effort of the scientific community to quantify ecosystem services and in particular ecosystem services in agroecosystems associated with plant diversification.\u2022The data is valuable as it comes from an original experimental design using an existing plant richness gradient to study the continuous relationship between plant richness and response variable related to pest regulation service.\u2022This data does not focus solely on the effect of plant richness on abundance or damage of the pest, but also on potential alternative preys or predators of the pest.1Cosmopolites sordidus. In addition to the dataset, we present the outputs of statistical models that quantify the effect of total plant species richness on the abundance of each arthropod group and on corm damage. The dataset presented in this article, in 2The experimental design is described in details in 2.1In 2.2"}
+{"text": "We read the article Critical care ultrasonography in acute respiratory failure by Vigno We thank Dr. Balthazar and coworkers for pointing out the erroneous figure legend and annotation in our recently published manuscript describing the clinical value of critical care ultrasonography in both the diagnostic work-up and management of patients admitted to the intensive care unit with acute respiratory failure . Massive"}
+{"text": "Green tea (Camellia sinensis) is a popular herbal remedy worldwide. Polyphenols in green tea have attracted much attention as potential compounds for the maintenance of human health due to their varied biological activities and low toxicities. Camellia sinensis) is a popular herbal remedy worldwide. Polyphenols in green tea have attracted much attention as potential compounds for the maintenance of human health due to their varied biological activities and low toxicities. Recently the antioxidant properties of green tea on injury protection caused by oxidative stress have been on focus have been completely observed by the author.None.SH was the single author of the paper."}
+{"text": "Staying current with the literature is of paramount importance to the pharmacist engaged in an evidence-based clinical practice. Given the expanding roles and responsibilities of today\u2019s pharmacists combined with exponential growth in new medical and health sciences literature, staying current has become an extremely daunting task. Traditional journal clubs have focused upon their role as a training vehicle for teaching critical reading skills to residents. However, schools of pharmacy are now required to provide instruction in biostatistics, research design, and interpretation. We present a paradigm shift in the traditional journal club model whereby a collection of periodicals is screened and a short synopsis of the pertinent articles is provided. The associated tasks for screening and presenting of the primary literature are shared among a group of clinicians and trainees with similar practice interests resulting in a more reasonable workload for the individual. This journal club method was effective in identifying a significant majority of articles judged to be pertinent by independent groups of clinicians in the same practice arenas. Details regarding the shared core practice and knowledge base elements, journal club format, identification of journals, and evaluation of the success of the journal club technique are provided. Journal clubs are commonplace in academic medical centers and hospitals in various fields of clinical practice including pharmacy. The first record of a medical journal club was attributed to Sir William Osler at McGill University in 1875 . The purStaying current with the literature is an essential requirement for the pharmacist engaged in an evidence-based clinical practice. It has been suggested that the gap between implementation of new knowledge into clinical practice is a primary reason for the suboptimal provision of quality health care for some institutions . HoweverFive clinical faculty members with direct patient care responsibilities and three second post-graduate year (PGY2) pharmacy residents comprise the core of the journal club group. All faculty are within the same department at the University of Tennessee College of Pharmacy and are based at the same university-affiliated hospital . Advanced clinical pharmacist activities are required via a contractual agreement between the College of Pharmacy and the hospital. Two faculty members have clinical responsibilities and coordinator duties for the Nutrition Support Service (NSS), another two faculty members provide critical care pharmacy services, and one faculty member shares responsibilities for both services. The NSS faculty members provide clinical services to adult patients throughout the entire hospital that require parenteral nutrition and to select complicated patients who require enteral nutrition. The critical care faculty members provide pharmacotherapy services to a Level 1 Trauma Intensive Care Unit (TICU) and its associated step-down unit. Most of the patients managed by the NSS are also trauma and surgical intensive care unit patients that frequently coincide with the population followed by the TICU faculty. The PGY2 pharmacy residents are required to complete four months of NSS experience and four months of TICU clinical pharmacy services with the remaining months dedicated to elective experiences, research, and miscellaneous activities. Thus, all clinical faculty and PGY2 trainees share a common thread of required knowledge and reading sources necessary for optimal performance of their respective duties. It would be intuitive that both NSS and TICU clinical pharmacy services could streamline their ability to stay current with the literature by sharing reading sources and communicating findings from pertinent articles with each other.The primary intent of our journal club is to stay current with new literature that may confirm, alter, or augment conventional practice in pharmacy nutrition support or pharmacy trauma intensive care. A second objective is to accomplish the task of screening and compiling pertinent studies on a consistent basis without burdening a sole person with the excessive workload. Third, this journal club methodology provides a forum for training pharmacy resident mentees via dialogic teaching of emerging innovative therapies, where perspective on the paper\u2019s application to clinical practice and what is currently known in the field can be provided. This model exemplifies one method on how to facilitate continued growth in knowledge of current literature for trainees to potentially emulate upon completion of their training.The journal club process and organization are overseen by five clinical pharmacy faculty mentors. In addition to the faculty mentors, other active participants are also expected to screen journals, prepare materials for the journal club, and present papers at each session. These other participants include our three PGY2 critical care pharmacy residents and PGY1 pharmacy residents enrolled in an elective NSS or TICU rotation. Students on Advanced Pharmacy Practice Experience (APPE) rotations for the month with the clinical faculty are also required to attend as non-presenting participants. Most journal club sessions are comprised of 12\u201315 attendees.Journal club meetings are scheduled twice monthly on the second and fourth Tuesday of every month at 3 P.M. and is to last no longer than 1 h. This time was found to be conducive for attendance as the NSS and TICU pharmacy services tend to complete most of their clinical activities for the day by that time as clinical service responsibilities usually begin at 6 or 7 a.m. for each service. In addition, a consistent time and day facilitates the development of a routine, whereby the session is unlikely to be inadvertently forgotten and missed. The location of journal club meetings is also kept consistent and held in a conference room at the College of Pharmacy building, which is located adjacent to the hospital. The tables and chairs are arranged in a rectangular format to facilitate interactive communication among the participants. The presenter may be located within any location in the rectangle.It has been suggested that journal clubs can encourage residents to regularly and critically read the medical literature but will not succeed if the journal club suffers from poor attendance or periodic abandonment . AttendaTwenty-nine journals are screened monthly . The jouThe scheduled presenter must screen the assigned journals and develop a packet of materials consisting of a face sheet, the table of contents for all assigned periodicals for the month, the first page of selected articles containing the abstract of the paper, and sometimes an entire article if the presenter considers the paper of pivotal importance. A truncated example of the journal club packet is provided in Reviews, guidelines, and position papers are not reviewed but may be provided on the face sheet and mentioned during the presentation to alert journal club attendees of its presence. The following month\u2019s presenters use the current month\u2019s face sheet to ascertain what issues of the assigned journals have already been evaluated so that a lapse in coverage in evaluating journal content can be avoided.Our journal club\u2019s current periodicals identified for screening and presentation are listed in To evaluate the success of our journal club in identifying articles pertinent to our practice, we examined a series of publications which was intended to identify the most significant articles for pharmacy nutrition support and critical care pharmacy practice published from 2013 to 2017 ,16,17,18Eighty-seven papers significant to pharmacy nutrition support practice were identified by the author group over the four-year observation period. Seventy-five articles were from periodicals included in our journal club. An additional three articles were from a journal that was not included in the screening list of periodicals but all faculty and PGY2 residents receive as part of their membership of the journal\u2019s sponsoring organization . SeventyStaying current with the literature is a daunting but essential task for the pharmacist who is engaged in an evidenced-based clinical practice. Presented in this review is a method for redesigning journal clubs from the traditional technique of an in-depth analysis of one or two articles to a screening tool that effectively keeps pharmacists informed of current literature. This technique reduces workload of the individual by sharing duties among multiple pharmacists and provides a forum for faculty and senior clinicians to mentor their trainees. This methodological redesign of the traditional journal club is offered to others for consideration."}
+{"text": "Following relevant reader's comments and Editor's request, my co-authors and I would like to add some references which have been unintentionally omitted in some sections of the review. We thank the readers and the Editorial Office for pointing this out and helping us to improve the manuscript.After surgery, radiation therapy (RT) has long been an integral component of cancer care. It is usually employed to locally eradicate tumor cells as well as alter tumor stroma with either curative or palliative intent family as collagen receptors represents a new paradigm in the regulation of collagen-cell interactions and regulation of tumor progression and fibroblast growth factor receptor (FGFR) which display a rapid and transient activation, DDR1 and DDR2 are unique in that they exhibit remarkably delayed and sustained receptor phosphorylation upon binding to collagen undergo negative regulation such as receptor/ligand internalization and subsequent degradation or dephosphorylation by phosphatases . CS is recipient of PhD fellowships from the French Ministry of Higher Education and Research.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Implantable devices utilizing bioengineered tissue are increasingly showing promise as viable clinical solutions. The design of bioengineered constructs is currently directed according to the results of experiments that are used to test a wide range of different combinations and spatial arrangements of biomaterials, cells and chemical factors. There is an outstanding need to accelerate the design process and reduce financial costs, whilst minimizing the required number of animal\u2010based experiments. These aims could be achieved through the incorporation of mathematical modelling as a preliminary design tool. Here we focus on tissue\u2010engineered constructs for peripheral nerve repair, which are designed to aid nerve and blood vessel growth and repair after peripheral nerve injury. We offer insight into the role that mathematical modelling can play within tissue engineering, and motivate the use of modelling as a tool capable of improving and accelerating the design of nerve repair constructs in particular. Specific case studies are presented in order to illustrate the potential of mathematical modelling to direct construct design. Copyright \u00a9 2016 The Authors Journal of Tissue Engineering and Regenerative Medicine Published by John Wiley & Sons Ltd. These parameters have the potential to impact clinical efficacy, and currently are investigated predominantly via experimental techniques. The use of mathematical modelling could speed up and streamline the process of identifying optimal design parameters, provided that the models can be parameterized effectively. The search for a bioengineered solution to the problem of peripheral nerve regeneration, in the form of nerve repair construct (NRC) design, offers a prime opportunity to demonstrate the potential of theoretical techniques in tissue engineering.in vivo and in vitro to Rachel Coy. Rachel Coy is also supported through the UCL CoMPLEX doctoral training programme.The authors declare no conflicts of interest."}
+{"text": "Background: Health promoting schools (HPS) projectis currently being used in Iran but many challenges still lie ahead. Thepresent study aimed, to test feasibility of implementing a comprehensiveadvocacy program (CAP) to overcome the obstacles and problems associated withthe consummation of school health programs based on the HPS framework. Methods: This quasi-experimental study was performed throughrecruiting all schools that were enrolled in the national HPS program andlocated in Jolfa as the intervention group and all of the schools situated inthe East Azerbaijan province as control. In order to collect data, IranianMinistry of Health\u2019s checklists and external audit guidelines for HPS wereutilized. In addition, to plan a CAP required data for coordinating fundraising activities including current rules and regulations regarding implementationof local health promotion interventions were collected. Results: Findings of the study revealed that the implemented CAPhad improved all HPS dimensions\u2019 mean score in the intervention group. Theobserved change in the pre- and post-test score in the intervention group wassignificant (P < 0.05). The intervention was also successful inencouraging signing of an agreement among the participated organizations to becommitted to pursue the adopted policies in facilitation of progress towardsfull implementation of the local HPS project. Conclusion: Commencingchanges in the recruited schools\u2019 structure through coordinated multi-levelactivities is feasible and this must be considered as a priority wherecontextual determinants exist to motivate progress towards providing healthiereducational settings for school aged children in Iran. Health promoting schools (HPS) therefore are communities\u2019 asset for countries\u2019 sustainable development especially when limited resources are allocated for children\u2019s wellbeing in larger societies or families.4 All these acquirements should be considered along with cost savings that communities may gain by decreasing education dropouts or preventing low educational attainments due to reasons such as illnesses or related disabilities.3A health promoting school not only improves school aged children\u2019s health through encouraging healthy behaviors and thus prevention of diseases or high risk practices but it may also improve students\u2019 educational performance and achievements.5 It is also recommended to be one of the effective strategies in filling health gaps among population subgroups and in a larger scale among rural/urban and developed/less developed regions.6Antecedence of required revisions in current schools\u2019 environments even goes beyond the local and national boundaries. Therefore it was incorporated into several international health policies including health for all (HFA).8The health promoting school initiative was introduced in the Ottawa Charter (1980) and addressed as a proper strategy to promote health and empower communities through executing coordinated activities across all sectors (1995). The objectives could be achievable by encouraging communication and collaboration among community sectors and training for better team work.10 The initiative targets both health and educational activities through mobilizing resources as a framework for collaborative and outcome based efforts to reach HFA goals in schools and larger communities.A health promoting school is by definition a school in which continuous efforts are organized to improve students, schools\u2019 staff and members of communities\u2019 health through composing healthy environments, providing required services and dietary recommendations along with maintaining opportunities to improve physical activities and also receive of required mental health counseling.13 including Iran.12 However, there are challenges in executing the HPS project in several countries. Mobilization of human resources and facilities that are required for execution of the initiative, attracting inter-sectoral collaborations especially between private and governmental organizations and persuading students\u2019 parents and teachers active participations are among the important ones.10 Weak or lack of collaborations among responsible organizations, absence of a baseline structure to direct performed activities in a designated route and insufficiency of funding are amongst the important existed barriers in front of the HPS implementation in Iran. Ambiguity of rules and regulations regarding assessment and monitoring of students and school personnel\u2019s health in addition to the scarcity of the health training programs for students\u2019 parents or school personnel have made the current situation even more complicated. All these obstacles along with shortage of human resources such as health counselors and psychologists and current sub-standard physical environments of a considerable number of schools in Iran represent importance of HPS for Iranian students, their parents, schools\u2019 staff and whole country.14The idea was introduced and supported by the World Health Organization (WHO) in the past decade in many countries of the worldConsidering the spectrum and nature of the challenges that need to be overcomed to have HPS in Iran, multidimensional interventions are required in local and national levels. These interventions should be planned for lower level stakeholders e.g. students, families and schools\u2019 staff to higher level stakeholder who might be top level policy makers or managers.Comprehensive advocacy programs (CAPs) could create the required enthusiasm among all stakeholders to work collaboratively in upgrading existent schools to health promoting ones.16To reach the goal changes in policies and practices will be required. Without policy makers and high, middle and lower level managers\u2019 commitment to overcome current barriers in front of the necessary changes that should be planned in the schools, little success must be expectable.This study was designed and carried out to examine feasibility of implementing a CAP and creating stable changes in the schools recruited within the study location and to learn lessons for implementation of the planned advocacy program possibly in a wider area or whole country.This is a quasi-experimental study which utilized pretest-posttest nonequivalent control group design. The study sought to investigate effectiveness of a CAP in promoting the recruited schools towards HPS from February 2011 to October 2013 in Jolfa, North West of Iran. All schools that were determined by the local authorities and compromised to participate in the national level HPS project (n=26) in Jolfa and those schools that had been determined to participate in the national HPS program and located in Tabriz (n=1041) were assigned to intervention and control groups respectively.12 The instrument covers eight dimensions including Health Education (8 items which includes 4 one point questions and 4 two point questions); Health Services (11 items which include 5 two points questions and 6 one point questions); Healthy School Environment ; Nutrition Services ; Physical Education and Physical Activity ; Staff Health and Wellness ( 8 items including 5 one point questions and three 2 point questions) and Counseling, Psychological, and Social Services . In addition; Family and Community Involvement in the HPS\u2019 programs were asked using 8 items that were 6 one point and 2 two points questions. To collect required data for planning of a CAP in the area, several dimensions like allocated funding, published national rules and regulations that support HPS program and official policy documents both in the national and local levels were scrutinized. Using audit checklists, the organized audit teams consisting of health care centers\u2019 staff who were blind to the objective of the study carried out the primary and final assessment of the studied schools regarding the changes that were assumed to take place following the advocacy program.The study data were collected using the introduced checklists for external audit according to the guidelines recommended for assessment of HPS by the Iranian Ministry of Health and Medical Education (MOHME).14A baseline assessment was carried out to recognize the current problems and challenges in successful implementation of the HPS program using the primary assessment checklists. Findings of this stage were used to plan a CAP considering the recommendations were given for conducting a CAP by Sprechmann and Pelton including two steps and in each step the instruments and work sheets introduced by Sprechmann and Pelton were used in the following order.(1) Activities prior to conduction of the comprehensive advocacy program Main purpose of this phase was to minimize risk of failure and also maximum use of all potentials to achieve success. To accomplish activities of this stage policy documents at local and national scales were checked, key responsible persons in the local organizations, decision makers and those who have capabilities and chance to lobby these policy makers and other important authorities were identified. The identified individuals were contacted consequently to publicize the idea behind the HPS program. Understanding the dominant policy climate in the organizations, all efforts were made to ensure provision of reliable information by credible individuals that included a short list of priorities required to be focused in the planned CAP.(2) Planning for comprehensive advocacy programActivities of this phase were conducted in the following four stages: analysis of policies, development of strategies for a CAP, making decision on most suitable strategies and program implementation. The performed activities that had been carried out in every stages of this phase were displayed in t test and independent t test were applied for comparison purposes. The test results considered to be significant if P<0.05.To examine effectiveness of the implemented advocacy program the collected pre and post intervention data were compared against the data collected in the provincial level following the implementation of baseline HPS program. Data analysis was performed using the statistical package for the analysis of social science (SPSS) version 16. Mean and standard deviation for quantitative data were estimated and inferential statistics of paired The study results revealed that 26 (25%) out of 104 schools that were located in Jolfa area covered by the provincial HPS program and only 3 (11.53%) of them were located in rural areas. Among the 4463 schools that were listed to be working in East Azerbaijan province, 1041 (23.22%) were included in the provincial HPS program of them, 146 (14%) schools were located at rural areas. In the city of Jolfa; 15(57.69%) of the schools were primary schools, 7 (26.92%) were junior high schools and 4 (15.38%) were senior high schools that decided to be included in the provincial HPS program. In East Azerbaijan province, 557 (83.81%) primary schools, 302 (29.17%) junior high schools and 176 (17%) senior high schools were covered by HPS program.The obtained data regarding the areas of \u201cgeneral policies\u201d and \u201ceffective policies\u201d and also in each of the eight mentioned dimensions of the pilot CAP project in Jolfa were summarized in Tables P<0.001) . Additio18 Multi-level involvement of stakeholders including families, schools, policy makers and health care providers could increase chance of success to reach the program objectives16 and should be regarded as a pivotal principle in implementation of a CAP. Based on the community participatory project for development of HPS in Zhejiang province, China,17 considerable improvements in knowledge and behavior of students, staffs, and parents about healthy nutrition were observed. Huang et al also reported that integration of local resources and close cooperation among all collaborators within local communities could greatly help development of HPSs and overcoming challenges stemmed from incongruous activities.18 It seems, a participatory approach to HPS would be more than the improvement of the health and would have multidimensional outcomes beyond the schools\u2019 environments.Findings of this pilot field test indicated feasibility of implementing an effective CAP to pursue the proposed polices with regard to execution and development of the HPS project in Jolfa, Iran. The study results were also revealed that the agre20 Winkleby et al, based on implementation of a CAP, have reported a considerable decrease in cigarettes consumption in their study\u2019s intervention group.19 Goodkind, reported that through a CAP, satisfaction of the Hmong refugees about assessment process of their required resources, living standards and stress level had improved.20Results of other studies were also indicative of the effectiveness of CAPs in improving and sustaining health programs.25 In spite of the importance of inter-sectoral collaboration in success of community wide programs, the required level of cohesion that is especially required in developing countries was not seen due to partially rigid and patchy definition of organizational responsibilities and priorities.26While the conducted CAP had considerable outcomes for development of HPS project in the study location, but various challenges were also encountered including lack of full cooperation of responsible organizations that interfered with expected achievements. Failure in achieving full cooperation of all stakeholders in the HPS programs were also reported in other studies.27 with potential to influence the program results. In this study, the principal encountered challenges in implementation of CAD program were as follows: instability of directors and managers in their position in the relevant organizations, resisting against the required changes in the organizations\u2019 responsibilities, higher priority of the short term benefits compared to long term organizational achievements, lack of culture of team work and full cooperation to achieve organizational goals and objectives and deficiencies in financial resources that are needed for coordinated activities. Consistent with the findings of this study, Abdulmalik et al27 have pointed to the facing challenges in implementation of CAP such as lack of full support from the policy makers side due to a narrow level of expertise they may have and reluctance of official staff to input new activities or objectives into their organizational routines that may expand their current responsibilities beyond the existent frameworks.27Implementation of CAP may face same common route barriers and challenges in the developed and developing countriesWhile there is no explicit blueprint to reach success in advocacy programs all efforts were made to use current research evidence in planning phase of the study. An unequivocal hybrid of professional skills to fascinate partnership was applied to build local capacity for supporting the initiative. Thus; local planning skills for HPS were improved but we believe that overall capacity to sustain the required support for long term planning remained inconsistent. A part of this paucity was related to bureaucracy of decision makings in the local organizations, hierarchy of the agreements\u2019 approval in the upper level managerial settings and divergent priorities within the participant organizations.To achieve advocacy programs\u2019 goals proactive collaboration of all stakeholders is indispensable but financial impediments were amongst the most alleged considerations by the local level managers to intimate participation with the scheduled advocacy program. The current top-down centralized planning and budgeting mechanisms in Iran prohibits creativity in local level decision makings and prioritization of the health problems.Another limitation of this study was abstaining of a number of local stakeholders from full engagement in the designed HPS reinforcement project.Another limitation of this study was assuming of existent baseline data in provincial level suitable for comparison purposes. This is while; inherent differences actually might exist between the study location and other socio-economic milieus. We were aware of importance of selecting a socio-economically and demographically homogenous control field but due to logistical restraints it was impracticable. Despite all these impediments the study results could provide advices for better planning and implementation of HPS programs in at least socio-culturally and economically similar settings.This study used the strategy of CAP as an attempt to overcome the potential challenges and obstacles in front of implementing a local version of the HPS program in a typical national level setting. The study findings indicated that using a well-organized CAP and implementation of a sustainable HPS program could greatly improve the current programs and overcome many challenges. The employed strategies and lessons learnt in this local CAP may help other local or even national level programs in progressing towards healthier schools and thus healthier next generations. While, the identified barriers and applied strategies could be applicable in other national and even international levels, special attention must be paid to the inherent differences that might exist and interfere with the CAP implementation in culturally, socially or organizationally heterogeneous settings.Based on the study findings advocacy activities for boosting national level HPS initiatives should consider more effective routes to engage all organizations and administrative sectors in public health activities as one of their national and even international missions that need to be followed for a safer and promising planet for all. Secondly, ministries of health and relevant organizations should clarify their expectations about how other organizations can engage and collaborate in improvement of school health programs and help them to move in line with health promotion programs in a sustained manner. Next, all organizations are encouraged to have a clear and documented policy to help local and national level health promoting programs to overcome national health related challenges since; weak or lack of inter-sectoral cooperation might hamper accurate implementation of community based health promoting programs.The ethical approval was obtained from the Human Research Ethics Committee (HREC) of the Tabriz University of Medical Sciences. In line with the ethical guidelines for implementation of the study, its purpose was clearly explained to the participants i.e. involved organizations and groups. The participants\u2019 rights to withdraw from the study at any time for any reason and without any obligation in giving reasons for their refusal to continue participation in the study were also clarified. In the implementation phase of the study during negotiations and convincing study participants their views, times and preferred schedules for spending time to answer questions or give their opinions were considered respectfully. All efforts also were made to build mutual trust with the respondents and carefully concede issues like organizational benefits, sensitivity of the managerial tasks and other considerations.None of the authors has any conflict of interest.TB helped in drafting the article and data analysis, BF major role was conceptualization and design of the study, data collection and interpretation and drafting the article, ASH and HA helped greatly in conceptualization and design of the study, data analysis and interpretation and revised several drafts of the article critically for major intellectual content. All authors have read and approved the submitted and revised final version of the manuscript.This research was supported by a grant from the Tabriz University of Medical Sciences. The authors would like to appreciate all local organizations\u2019 support in execution of this study."}
+{"text": "The technique of transtympanic electrocochleography was initially developed as an objective hearing threshold test by Eggermont. Gibson et al. claimed Electrocochleography (EcochG) is a method of directly recording electrical activity of the cochlea and the acoustic nerve in response to acoustic stimulation. The three components measurable are the cochlear microphonic (CM), the action potential (AP), and the summating potential (SP). In contrast to the earliest studies, new computer averaging techniques have enabled routine testing of these components in humans.This review will briefly summarize the useful components of the EcochG used in the diagnosis of Meniere's disease. The effects of electrode placement on the size of the AP and SP and the merits of tone burst stimuli will be discussed. New international criteria for the symptomatic diagnosis of Meniere's disease make no allowance for any diagnostic test for a disorder which always begins in the cochlea, even though objective testing can confirm or exclude it.The CM, originally called the cochlear potential, was recorded in cats by Wever and Bray . It is tThe response from the acoustic nerve is the AP and was first demonstrated in the cochlear nerve and brainstem of cats by Saul and Davis . BecauseA 100 ms click stimulus stimulates the whole basilar membrane. Frequency selective masking experiments suggest that the major contribution from a click is from the basal turn of the cochlea there is a need for alternative diagnostic certainty, particularly for investigational studies, and to unequivocally distinguish Meniere's disease from other causes of recurrent vertigo attacks.The term clinically certain Meniere's disease can be defined as a diagnosis based on the 1995 AAO-HNS symptomatic criteria could confirm a diagnosis of superior canal dehiscence syndrome other diagnostic applications for VEMPs have been sought, including for Meniere's disease with numerous publications employing cVEMPS and ocular VEMPs (oVEMPs) to diagnose hydrops in the vestibule. These have produced conflicting interpretations as to the diagnostic sensitivity. In 18 patients with a clinically certain diagnosis in one ear, Johnson et al. measuredConfirmation of visible inner ear hydrops on MRI scanning with intratympanic gadolinium (Nakashima et al., Hornibrook et al. comparedThe initial promise of a click response SP/AP ratio as a sensitive test for endolymphatic hydrops has not been realized (Hornibrook et al., ET electrodes are significantly inferior for measuring tone burst responses. Until the signal-to-noise ratio problem of ET electrodes is solved, TT recordings are of greater magnitude and accuracy.An analysis of 128 Meniere's disease studies (Thorpe et al., cochlear hydrops to confirm a diagnosis of Meniere's disease. There is agreement that a response of not < \u22123 mV is diagnostic for endolymphatic hydrops (Dauman and Aran, Of all investigative tests transtympanic tone burst EcochG remains the simplest, and most sensitive test to diagnose As was once for electrocardiography there is an urgent need for universal agreement on equipment specifications (Hohmann et al., The author confirms being the sole contributor of this work and approved it for publication.The author declares that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Delivering in health facility under the supervision of skilled birth attendant is an important way of mitigating impacts of delivery complications. Empirical evidence suggests that decision-making autonomy is aligned with holistic wellbeing especially in the aspect of maternal and child health. The objective of this paper was to examine the relationship between women's health decision-making autonomy and place of delivery in Ghana. We extracted data from the 2014 Ghana Demographic and Health Survey. Descriptive and logistic regression techniques were applied. The results indicated that women with health decision-making autonomy have higher tendency of health facility delivery as compared to those who are not autonomous . However, those who have final say on household large purchases and those having final say on visits were less probable to deliver in health facility than those without such decision-making autonomy. Consistent with existing evidence, wealthier, urban, and highly educated women had higher inclination of health facility delivery. This study has stressed the need for interventions aimed at enhancing health facility delivery to target women without health decision-making autonomy and women with low education and wealth status, as this can play essential role in enhancing health facility delivery. The World Health Organisation (WHO) estimates that 536,000 women die yearly owing to pregnancy and delivery related complications. At the same time, over the past two decades, maternal mortality ratio has declined by 45 percent whilst prevalence of maternal death declined from 532,000 to 289,000 as of 2015 and this persisted even after controlling for the sociodemographic variables as displayed in Women in all age categories were less probable to deliver in health facilities as compared to those aged 15\u201319 years . The modAgain urban residents were noted to have higher odds of health facility delivery as compared to their rural counterparts . Women who had subscribed to the NHIS were more likely to deliver in health facilities compared with unsubscribed counterparts . With the Western region as a reference, women from Upper East stood out as having five times likelihood of health facility delivery as displayed in Previous studies have demonstrated that some women in Ghana are less empowered and have limited decision-making rights. This study was carried out to examine the relationship between women's health decision-making power on their place of delivery.It was revealed that women with autonomous health decision-making power were more likely to utilise health facility for delivery as compared to those without. This presupposes that autonomy of women in relation to health is important to enhancing health facility delivery which guarantees skilled birth attendance. To a greater extent maternal health and child health are inherent in the level of empowerment and autonomy exercised by women because autonomous women would make right choices and access quality healthcare at all times particularly during delivery.This observation is consistent with some prior studies which also noted that when women are autonomous and have much influence on decisions that affect their wellbeing, their access to and utilisation of healthcare improves \u20139. As woDelivery in health facilities increased with higher wealth quintile whereas home deliveries characterised poor women. This finding highlights the influence of cost on utilisation of healthcare in the country and this might pose threat to the health status and maternal wellbeing of poor women. This is particularly critical because cost can also deter them from accessing quality healthcare for themselves and their children even after delivery and this might constitute severe threat to their health status and their children. Similar findings were noted in a study conducted in Nepal where it was realised that home delivery was dominant among poorer than wealthier women whilst aIn line with wealth status and utilisation of health facilities, health insurance is a cost cutting intervention that enables people to have easy access to healthcare. The finding that insured women had high propensity of delivering in health facilities indicates that indeed subscription to the insurance scheme immensely influences decision on place of delivery. This observation conforms to a study conducted in the Ga-East Municipality of Ghana which noted higher rate of health facility delivery among NHIS subscribers .It was observed that respondents aged 15\u201319 years were more probable to deliver in health facilities as compared to those aged 45\u201349 in Ghana. Maternal age has been linked to parity and various aspects of life , realisiIt was noted that higher educational attainment was highly related to health facility delivery which affirms the plethora of studies \u20138 that hThe study has indicated that health facility delivery is more probable among urban residents as compared to those in rural settings. This might be owing to the relatively less availability of health facilities in rural settings as compared to urban areas in the country. If a woman in rural area has to ply several miles before accessing the nearest health facility, such a person might not have the urge to consistently access health facility as compared to those in urban areas where health facilities relatively abound. At the same time, urban areas have relatively better road networks, which enhances their easy to access health facilities for deliveries. Analysis of trend and pattern of institutional delivery in Bangladesh from 1993 to 2007 in relation to residency and education also revealed low utilisation of health facility among women in rural settings . On the Women in the Upper East region were noted to have the highest likelihood of health facility delivery in the country. The high presence of CHPS in the region may be contributing substantially to the observed pattern. The relevance of CHPS in improving maternal and child health in Ghana has been highlighted previously , 36, sugSince the study dwelt on preexisting data, it could not explore the motivation for the use of place of delivery among women. Again, the cross-sectional nature of the survey does not permit identifying cause and effect. Amidst all these, the results present a true reflection of the relationship between health empowerment and place of delivery and thereby provide insights into public health interventions worth instituting to promote health facility delivery in Ghana.The study has indicated that Ghanaian women with healthcare decision-making autonomy are more likely to deliver in health facilities and this persisted even after controlling for sociodemographic factors. It is also evident that higher wealth status is aligned with health facility delivery. The study therefore recommends that government and nongovernmental organisations concerned with maternal and reproductive health should target women who do not independently decide on their own healthcare with mass media campaigns advocating health facility delivery. Additionally, incentive packages required to inspire health facility delivery must be geared towards women with low education and wealth status, as this can play essential role in enhancing health facility delivery."}
+{"text": "The endocannabinoid (eCB) system (ECS) plays a prominent role in regulating brain reward function and modulating emotional homeostasis has been implicated as a critical component of long-lasting neural maladaptation underlying addictive behaviors receptors were downregulated by chronic ethanol administration and its application to other drugs of dependence or other prenatal stresses remain to be determined. Moreover, the extent of the excitatory pathway linked to the widely-studied inhibitory GABAergic pathway on the VTA DA neurons should be investigated. The CB1 receptors examined by Hausknecht et al. were at These considerations notwithstanding, the observations of Hausknecht et al. advance The author confirms being the sole contributor of this work and approved it for publication.The author declares that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "ARPANSA) collect reported incidents for inclusion in the Australian Radiation Incident Register (ARIR), a database of radiation incident reports that occur within Australia. While the information on previous radiation incidents is available, there is little information on the lessons that can be learned from those past incidents to help prevent the same errors reoccurring. The aims of the study were to investigate what radiation incident registers are publicly available in Australia and to utilise the information contained within the ARIR and any other state or territory radiation protection authority registers to make recommendations for radiographers and radiation therapists to prevent future adverse events.The Australian Radiation Protection and Nuclear Safety Agency of the adverse events. A vast majority of the incidents were a failure to comply with time\u2010out protocols .There are several radiation adverse event registers publicly available to utilise in Australia. All departments need to adopt and strictly adhere to time\u2010out protocols. This in conjunction with the other recommendations in this article has the potential to dramatically reduce radiation adverse events. When adverse events occur in the medical radiation science (MRS) profession, the incident is investigated and the incident along with the findings of the investigation is reported to the relevant state or territory government radiation protection authority. The Australian Radiation Protection and Nuclear Safety Agency (ARPANSA) collect reported incidents for inclusion in the Australian Radiation Incident Register (ARIR), a database of radiation incident reports that occur within Australia.(p12) For the ARIR to be an effective tool to reduce radiation incidents, the information from past experiences contained within the annual summary reports must be utilised as a learning tool to change systems and behaviours.The Australian Radiation Protection and Nuclear Safety Agency compile radiation incident reports to produce annual summary reports of the ARIR. The World Alliance for Patient Safety states: \u2018The primary purpose of patient safety reporting systems is to learn from experience. It is important to note that reporting in itself does not improve safety. It is the response to reports that leads to change\u2019.Any diagnostic procedure other than as prescribed by the medical practitioner.Any diagnostic procedure resulting in an observable acute radiation effect.Any therapeutic treatment delivered to either the wrong patient or the wrong tissue or using the wrong radiopharmaceutical.(p37)When during administration of a therapeutic dose of radiation from a radiation apparatus or a sealed radioactive source, the dose delivered differs from the total prescribed treatment dose by more than 10%.Schedule 13 of the National Directory of Radiation Protection specifies the incidents that must be reported to ARPANSA for inclusion in the ARIR. Radiographers and radiation therapists have to report incidents in the following circumstances:(\u00b64) The annual summary reports are the only documents to be released by ARPANSA from the information contained within the ARIR. Summary reports from 2012 onwards contain additional information on the causes of the incidents but are not detailed enough to draw recommendations for improvements in safety. ARPANSA plan to include more detailed information in future annual summary reports on post\u2010incident follow\u2010up and lessons learnt.One of the objectives of the ARIR when it was established was \u2018through appropriate publications, to provide feedback and guidance to users of radiation on preventing or limiting the consequences of radiation accidents\u2019.\u00b6 The annuTo investigate if any radiation protection authority incident registers within Australia are available to the public.Utilise the information contained within the ARIR and any state or territory radiation protection authority registers to make recommendations for radiographers and radiation therapists to prevent future adverse events.The aims of the study were:keywords: \u2018Radiation\u2019, \u2018Radiation incidents\u2019, \u2018Radiation accident\u2019) to locate what radiation incident registers within Australia were available to the public. Authorities responsible for radiation in each state and territory were contacted via e\u2010mail to confirm if radiation incidents data were publicly available.As this study involved publicly available anonymised data, ethics approval was not required. A search was conducted from January 2015 until March 2015 of all state and territory health department's, environment authority's and radiation authority's websites (All diagnostic radiography (DR) and radiation therapy (RT) adverse events available from the state and territory registers along with those in the ARIR that occurred between 2003 and 2014 were compiled into a spreadsheet for analysis. Incidents were excluded if the researchers concluded there was inadequate information to determine a cause or were deemed to be no fault of the MRS personnel involved , South Australia (SA), Tasmania (TAS), Victoria (VIC) and Western Australia (WA). These incident registers are contained within annual reports of the relevant state government authority Table . IncidenA total of 356 adverse events were derived from the incident registers between 2003 and 2013 that the researchers determined a cause could be concluded . There were 35 incidents determined to be duplicated in both a state authority register and the ARIR, so these were considered to count as one incident for the purposes of this study. This left 321 incidents being subject to further scrutiny.DR represented 76% of the 321 adverse events. A vast majority of the incidents were a failure to comply with time\u2010out protocols (77%) and half of those were due to non\u2010compliance where the time\u2010out protocol was not carried out. The categorisation of the total number of incidents included in the study is detailed in Table It is not surprising that DR errors outnumber those of RT by approximately 3:1. Radiation therapists often work in pairs checking each other's work and the procedure times are longer resulting in fewer procedures performed. RT also has more quality assurance checks due to the higher risks associated with greater radiation doses.(p2) and the correct patient, correct site and correct procedure protocol is a way of meeting the mandatory requirements of that standard.The use of the \u2018correct patient, correct site and correct procedure\u2019 protocol for operating theatres was mandated by Australian health ministers in 2004.Underreporting of incidents has been well documented in medicineThis study identified several other publicly available radiation registers apart from the ARIR. Causes of incidents are easier to determine the more information that is made available; the NSW register generally contained more information than the ARIR, while the WA and VIC registers contained far more detailed information on each incident that makes those registers an invaluable learning resource. The Radiology Events Register (RaER) is a voluntary radiology incidents database that contains case studies that are also useful learning resources.Several trends were identified in the analysis of the incidents to draw recommendations from. Almost 39% of the adverse events were due to non\u2010compliance in which the description of the incident clearly stated the time\u2010out protocol was not performed. All facilities must develop, practice, perfect and monitor the use of time\u2010out protocols appropriate to the organisation. The implementation of this one recommendation addresses numerous error classifications in this study, such as the use of closed questions, and has the potential to drastically reduce the rate of adverse events that occur in DR and RT.Booking procedures also had several reoccurring causes identified. There were numerous incidents in DR of two requests being submitted for the same examination and being completed twice. Incidents in both DR and RT of examinations being cancelled and performed anyway. Examinations in DR were also rescheduled and performed on both occasions. All practices need to examine their clerical procedures to look for deficiencies of this kind. Many patient scheduling software packages incorporate warnings for duplicated examinations within preceding time frames to assist with this. Another reoccurring cause of incidents in DR was the use of faxed request forms and the examination being performed again with the original form. Strict policies and procedures for the use of faxed request forms need to be implemented to reduce these types of errors occurring.There were several RT incidents that involved the use of proposed instead of actual prescriptions or fields for treatment. These errors can be prevented by having clearly defined protocols where the radiation oncologist signs off all information/scans to be used for the patient treatment at predefined stages throughout the simulation and planning process, and any preliminary data not utilised should be deleted or filed in non\u2010clinical folders so it cannot be confused with the actual treatment plan.A number of incidents occurred in DR where the incorrect patient identification label was affixed to the request form. A considerable portion of identification errors are due to the use of stickers and this is unlikely to be eliminated with the use of electronic requesting,The sub\u2010category of Failure to Comply with Time\u2010Out Protocols: Procedure: Human Error had numerous causes but some reoccurring causes were identified. The reoccurring causes along with the recommendations to prevent them are detailed in Table Although the aims of the research have been achieved, there are limitations to this study. The authors acknowledge they are not experts in the field of occupational or nuclear safety and the recommendations are those from people working in and understanding the processes of the profession. Many more incidents from the ARIR could have been analysed if anonymised data were sought from ARPANSA instead of the brief descriptions in the annual summary reports; however, the authors set out to use publicly available data throughout Australia to determine if MRS professionals could utilise the data to make useful suggestions to prevent future adverse events.As MRS professionals, we have an obligation to minimise and prevent adverse events when interacting with our patients. One way to achieve this is to learn from previous errors that have occurred and there are several radiation adverse event registers publicly available in Australia that can be utilised for that purpose. The knowledge obtained from these registers can help prevent future adverse events occurring.An overwhelming percentage of adverse events in radiography and radiation therapy occur due to the failure to comply with time\u2010out protocols. All departments need to adopt and strictly adhere to the protocols mandated by organisations Australia wide. This in conjunction with the other recommendations in this article that has the potential to dramatically reduce radiation adverse events and improve safety for staff, patients and members of the public alike.The authors declare no conflict of interest."}
+{"text": "To the Editor: We read with interest the article by Furuya-Kanamori et al. on the proportion of influenza virus infections that are asymptomatic or subclinical . It is not considered good practice to present pooled estimates in instances of massive heterogeneity (In another systematic review of the asymptomatic fraction of influenza virus infections ("}
+{"text": "The main aim of collecting the data was to assess the climate smartness, profitability and returns of soil protection and rehabilitation measures. The data were collected from 88 households. The households were selected using simple random sampling technique from a primary sampling frame of 180 farm households provided by the ministry of agriculture through the counties agricultural officers. The surveys were administered by trained research assistants using a structured questionnaire that was designed in Census and Survey Processing System (CSPro). Later, the data was exported to STATA version 14.1 for cleaning and management purposes. The data are hosted in an open source dataverse to allow other researchers generate new insights from the data ( Specifications TableValue of the data\u2022The data allows researchers to compute cost benefit indicators of climate-smart soil practices in Western Kenya in order to understand the perceived benefits and cost from a private and social point of view.\u2022The data can help researchers to understand what explains farmers' decision to implement climate-smart soil (CSS) practices while allowing comparisons with soil management practices from other countries in sub-Sahara Africa.\u2022This data can provide a significant contribution to the literature on economic assessment of climate-smart agricultural (CSA) technologies on the costs that accrue to the stakeholders in both the short- and long-term.\u2022The data can be used to identify barriers to adoption and implementation of different soil practices at the micro level and macro level.1This article presents data collected by CIAT with an aim of assessing the climate smartness, profitability and returns of soil protection and rehabilitation measures. The data was collected using a structured questionnaire by means of Computer Aided Personal Interview (CAPI) technique to make the collection process effective and to minimize errors such as outliers and missing values. It is estimated that researchers spend about 80% of their time cleaning and organizing data Data were collected with the help of six local enumerators\u2014two from each of the three counties\u2014who were fluent in both English and the local language. These enumerators trained intensively for five days in English language to ensure a thorough understanding of the research questions and to control loss of information during translation. They were also trained on using CSPro entry android application and how to record geographical positioning coordinates using a GPS. To maintain consistency during the interviews, each enumerator had a hard copy version of the questionnaire to serve as a reference point throughout the survey period and to act as a backup in case of power failure, although data were to be entered directly into the laptops if hard copy questionnaires were used. Each enumerator was given CSPro data entry application on their laptops to facilitate data entry.Immediately after the training, a reconnaissance was done to test enumerators\u2019 ability in collecting reliable data and time taken to interview one farmer for logistical planning. This served as an important exercise for enumerators to familiarize well with the questionnaire and also for the engaged CIAT staff to have prior knowledge of the field challenges. Enumerators were instructed to interview the household head because they are more conversant with farming activities. In the absence of the household head, however, the enumerators were requested to interview any other household member above 18 years old as long as the member had more than 10 years of farming experience. We defined household head as a person who was the main decision maker as far as farming was concerned and participated in most of the agricultural activities of the household. CSPro was linked to a CIAT staff drop box account that aided data backup and daily checking of the quality of the data. A CIAT research associate in Nairobi office was tasked to check for consistencies in the data using predesigned Stata do files.2This data was collected from three counties of western Kenya, namely Bungoma, Kakamega, and Siaya . Siaya cStep two involved identification and listing of the already existing (and new) CSS practices that are applicable in the different farm typologies through focus group discussion. Step three involved evaluation of the listed practices using ten indicators in the CSA goals of productivity, resilience, low emission and development. The main goal of step three was to generate a short list comprising three high-interest CSS practices for each farm typology . Step fo"}
+{"text": "The cellular origins of cancer have long been debated. Work indicating the existence of a rare stem cell for acute leukemia was followed by a number of reports of relatively rare stem cells for a number of cancers. Other work has challenged the concept of cancer stem cells being a rare repopulating cell for cancer or providing a promising target for chemotherapy or immunotherapy. A balanced view here may be that there may be a continuum of \u201cstemness\u201d with early cancers having rare stem cells while with progression , i.e. most solid tumors, most of the cancer cells are in fact stem cells. In this latter case there would be no advantage to defining these cells. Thus far therapeutic application of cancer stem cell directed therapy has been disappointing. There is also longstanding and abundant information on the role of microenvironment in carcinogenesis. This bring up the issues of whether cancer cell mutations or micro environmental influences are predominant in carcinogenesis.The area of aging and stem cells interfaces with carcinogenesis as the latter progressively increases with age. The increasing clonal nature of blood stem cells with aging is pertinent here. Many studies have suggested interesting changes in hematopoietic stem cell numbers and function but have not taken into account the issues of the stem cell continuum and baseline stem cell hematopoiesis. Major issue are whether aging effects can be reversed or manipulated and what role the systemic effects of aging have on neoplastic hematopoietic diseases.The definition of cancer stem cells;The characterization as to total phenotype of putative cancer stem cells;The model systems available for study;The regulation of putative cancer stem cells:-the therapeutic implication of cancer stem cells;The changes in hematopoiesis and hematopoietic stem cells with aging;The nature of clonal hematopoiesis with aging;The study of different stem cell models with aging;The capacity to modulate aging effects of hematopoiesis;The implications for hematologic malignancies with regard to aging hematopoietic stem cells;The therapeutic implications of aging hematopoietic stem cell populationsThe section on Cancer stem cells and Aging provides a forum for the exchange of ideas and results from areas pertaining to cancer stem cells and carcinogenesis in general and the impact of aging on stem cell number and function and neoplastic potential. We will emphasizeWe look forward to receiving your high-quality submissions to our journal and also welcome your feedback and opinions on the new structure and other future changes."}
+{"text": "During the last decade, OMICs techniques have conquered the field of oral microbiology. This has resulted in an exponential growth of publications on microbiome related to different stages of caries process, as well as on primary and recurrent root canal infections. But have these technological advances brought us any groundbreaking insights that would help a clinician in choosing the right treatment or prevention strategies? In this presentation the current knowledge on microbiome related to Cariology and Endodontology fields will be critically assessed. Then the potential pitfalls and shortcomings of the studies using OMICs approaches will be discussed and future directions will be highlighted."}
+{"text": "Nutrients Editorial Office has recently been made aware that the figures in the title paper [The le paper are takele paper (rat) isle paper (mouse),le paper (rat) isle paper , and Figle paper is identle paper . Given tle paper will be Nutrients is a member of the Committee on Publication Ethics (COPE) and strives to uphold the highest ethical standards; misuse of images is not acceptable and we are committed to taking appropriate action when such cases are reported. We apologize to readers of Nutrients and wish to thank the reader who first reported this case."}
+{"text": "The freight rail systems have an essential role to play in transporting the commodities between the delivery and collection points at different locations such as farms, factories and mills. The fright transport system uses a daily schedule of train runs to meet the needs of both the harvesters and the mills [1]). Producing an efficient daily schedule to optimise the rail operations requires integration of the main elements of harvesting, transporting and milling in the value chain of the Australian agriculture industry. The data utilised in this research involve four main tables: sidings, harvesters, sectional rail network and trains. The utilised data were collected from Australian sugar mills as a real application. Operations Research techniques such as metaheuristic and constraint programming are used to produce the optimised solutions in an analytical way. The results in this research can be used to compare the performance of the proposed mathematical methods in optimising complex systems such as rail systems in many prospective studies.\u2022The data of the produced schedules of the train runs can be used for many different types of the freight systems such as the sugarcane or coal rail systems 1Based on the feedback from our industry partners, the data utilised in this research are created in four main tables: Sidings , Trains 2A case study was examined to validate the constraint programming models and metaheuristic techniques. Constraint programming (CP) is one of solution techniques to find a near optimal scheduler for the sugarcane rail systems. The proposed mathematical model considers the siding and train capacity constraints, daily allotment constraints of each harvester, train passing constraints where each train cannot occupy more than one rail section at a time or two trains can occupy one section at a time. Constraint programming that deals with problems defined within the finite set of possible values of each variable is the main technology used for solving mathematical formulation problems through the search trees. Metaheuristic techniques such as Simulated Annealing and Tabu Search are integrated with CP to improve the CP\u2019s solutions"}
+{"text": "This article comments on:Regente M, Pinedo M, San Clemente H, Balliau T, Jamet E, de la Canal L. 2017. Plant extracellular vesicles are incorporated by a fungal pathogen and inhibit its growth. 68, 5485\u20135495Journal of Experimental Botany . Extracellular vesicles (EVs) are secreted by organisms from all forms of life. In the mammalian field they are intensively studied due to their importance in disease and potential for therapeutic use. However, there has been little research in plants and thus the paper by) is a valuable addition to a small but hopefully growing body of data. The authors conducted proteomic analysis on purified sunflower EVs and demonstrated that they are enriched in defence-related proteins. They found that fungal spores treated with fresh EV preparations are damaged and show reduced growth.In addition to being a means to unconventionally secrete proteins to the apoplast, extracellular vesicles (EVs) are presumably being secreted by plant cells for communication with neighbouring plant cells and for interaction with microbes and other organisms. Indeed, it is conceivable that the latter might be more important as it could be argued that plasmodesmata can take care of the bulk of protein and RNA exchange between neighbouring plant cells. On the other hand biology loves complexity and redundancy.There are several potential pathways for the production of EVs and different classes of EVs are recognized, such as microvesicles and exosomes proteins enter the endoplasmic reticulum (ER) co-translationally then pass through the Golgi body and are packaged into transport vesicles that fuse with the plasma membrane. For unconventional secretion several routes have been proposed. Classically, unconventional secretion describes how proteins without signal peptides, which are presumably therefore synthesized in the cytoplasm (black stars), are secreted into the extracellular milieu (the apoplast in the case of plants). This may be via invagination into multivesicular bodies (2) or direct budding from the plasma membrane (3) followed by degradation of the vesicle membrane in the apoplast (4). The vesicles that emerge via these routes have an alternative fate, however, which is to stay as extracellular vesicles (EVs) and be taken up by another cell. It is possible that some of them fuse directly with the target cell\u2019s plasma membrane (5) but the evidence favours endocytosis of the majority. The endocytosis may be preceded by recognition of the vesicle components by receptors on the target cell or by recognition of proteins, carbohydrates or lipids on the target cell by components of the vesicle membrane . Once endocytosed the vesicle contents could be released by degradation of the vesicular membranes (8) or through retrograde trafficking to the late endosome (orange arrows), which is largely equivalent to the MVB, and fusion of the vesicular membrane with the bounding membrane (9).The picture is complicated by unconventionally secreted proteins that do have signal peptides (red stars). It is not difficult to understand how they could end up within the bounding membrane of the exosome positive organelle (EXPO), which is probably a form of autophagosome and may thus form from a cup-shaped ER extension that engulfs cytoplasm and potentially organelles. It is also possible that there are transient connections between the ER and MVBs (10) by which means the protein could enter the MVB without passing through the Golgi apparatus. These proteins would then be released into the apoplast or could perhaps associate with the exterior of EVs and make their way inside the target cells then to be released by vesicle degradation, or possibly by trafficking all the way to the target cell ER and hijacking the unfolded protein response pathway to exit from the ER (11). It is more difficult to envisage whether there could also be routes by which these proteins end up inside EVs (question marks).In The treatment of fungal spores by in planta or in a culture system) of EVs carrying highly effective biocides or RNAs that are specifically taken up by economically important pathogens or pests. Host-induced gene silencing is a method shown to provide crop protection . Bacterial pathogens have specific structures such as the type 3 secretion system to deliver their effectors but no such structures have been identified for eukaryotic pathogens. Botrytis cinerea has been shown to produce RNAs that are destined for host cells (Cuscuta to host cells but plasmodesmata are formed between Cuscuta and their hosts. Thus mRNAs may move symplastically, though of course this does not rule out an exchange of EVs between Cuscuta and its host.A further exciting area of study will be characterization of RNA populations in pathogen- and plant-derived EVs. The delivery of small RNAs to control gene expression within the host or mRNAs to ensure the production by the host of specific proteins helpful to the establishment of infection are both possible through EVs as they can protect the vulnerable RNAs from the apoplastic environment. The proteomics of plant EVs has only been published by The analysis of EVs involved in plant\u2013pathogen interactions is only just beginning but their potential for increasing our understanding of the exchanges determining disease outcomes and the potential for the development of new strategies to combat disease in economically important crops will ensure the rapid expansion of this field."}
+{"text": "This study focused on a comparative analysis of exposure to pollution in Ota and Ewekoro Township where we have concentration of industries that emits pollutant to the air. This was with a view to proffer solution to the negative effects of industrial activities on residents within industrial location. The study involved empirical observation and interview of residents. About 652 questionnaires were administered randomly on the residents. Analysis involved descriptive statistical tools including chi-square techniques. The results suggest that air pollution was most frequently reported in Ewekoro and Ota and this can help in the prediction of stringent factor in which industrial activities could pose to society. Value of the data\u2022The given data will show author in the field of environmental management and urban renewal the trend of pollution as it relate to industrial activities.\u2022The data obtained can be used as inference to understand clearly the percentage distribution of respondents by socio-economic and physical characteristics\u2022The data can be used to examine the relationship between the different levels of disposition to various environmental hazards.1In an attempt at appreciating the respondents perception on pollution generated from the industries, residents were asked to indicate their perceived causes in the study settings. More so analysis shows that 89% of the respondents reported industrial causes as the major sources of pollution within their neighborhood while 7% of the study sample indicated other causes as presented in 2Quantitative data collection method was used for this study. This strategy includes the use of questionnaire, direct interviews, personal observation and the use of photographs"}
+{"text": "The data presented in this article are related to the research article entitled \"Child and adult exposure and health risk evaluation following the use of metal- and metalloid-containing costume cosmetics sold in the United States\" Specifications TableValue of the data\u2022Provides an exposure assessment on realistic exposure scenarios and for multiple age use categories\u2022Risk assessment based on multiple routes of exposure, including dermal uptake and hand to mouth which have previously not been published\u2022Intra-lab comparison using two similar methodologies to evaluate how the sensitivity of the method impacts the ability to calculate an assessed risk\u2022Data from creams, sticks and lip products can be compared against other existing data for similar cosmetic products to estimate cumulative exposures\u2022Serves as a benchmark for other researchers to evaluate the exposure potential and risk for similar cosmetic products with chemicals not tested in our assessment, including organic chemicals1The dataset of this article provides the concentration of the metals and metalloids in the various products from the three different methods used to measure concentration S3, alon2Each cosmetic sample was pre-screened for metal content with the use of an X-ray fluorescence analyzer. If there was any metal detected in a cosmetic then it was purchased in order to do further analysis. Each cosmetic sample purchased was analyzed a second time with the X-ray fluorescence analyzer in a controlled environment and the data is shown in"}
+{"text": "To improve quality and personalization of oncology health care, decision aid tools are needed to advise physicians and patients. The aim of this work is to demonstrate the clinical relevance of a survival prediction model as a first step to multi institutional rapid learning and compare this to a clinical trial dataset.Data extraction and mining tools were used to collect uncurated input parameters from Illawarra Cancer Care Centre's oncology information system. Prognosis categories previously established from the Maastricht Radiation Oncology (training cohort) dataset, were applied to the clinical cohort and the radiotherapy only arm of the RTOG-9111 .Data mining identified 125 laryngeal carcinoma patients, ending up with 52 patients in the clinical cohort who were eligible to be evaluated by the model to predict 2-year survival and 177 for the trial cohort. The model was able to classify patients and predict survival in the clinical cohort, but for the trial cohort it failed to do so.The technical infrastructure and model is able to support the prognosis prediction of laryngeal carcinoma patients in a clinical cohort. The model does not perform well for the highly selective patient population in the trial cohort. Laryngeal carcinoma has a recorded incidence of 606 2009) with 255 reported mortalities 2010) in Australia to create well defined semantically interoperable data stores and secure messaging systems to facilitate multi institutional rapid learning.In both the previous study and in tIn clinical practice TNM staging is used to estimate the prognosis for larynx patients and there is some evidence of additional single variable prognosis predictors , 28. To We were able to use a data mining system to automate the collection of model parameters in a totally different clinical cohort in a different country and healthcare system and predict 2-year survival for their patient population using uncurated clinical data. The study shows that routine clinical data contains valuable information that could be harvested to improve and personalize patient care and even more so if recorded in a detailed, structured manner. The results demonstrate that further investigations into the difference between clinical trial cohorts and clinical cohorts is necessary with the potential for rapid learning systems to provide evidence for patients who do not fit clinical trial criteria."}
+{"text": "A burgeoning question in understanding literacy development is whether engaging in musical training directly transfers benefits to reading-related skills. Although, there is considerable data examining transfer effects of musical training on literacy skills, results from these studies have been largely inconclusive (Anvari et al., Initial results from Gordon et al.'s meta-anaGordon and colleagues propose that the way forward is to focus on what is transferred from music to language and how it is being transferred. With this goal in mind, they plausibly argue that rather than a direct transfer between music and literacy, improved reading fluency is the gradual result of enhanced auditory discrimination leading to improved rhyming skills that in turn facilitates phonological awareness (see also Besson et al., In conclusion, continued examination of positive transfer effects from musical training to literacy skills furthers our understanding of the complex connections between music and language, and their shared neurocognitive features. By outlining longitudinal studies that would address study design factors and further the examination of the neural mechanisms underlying musical training driven learning and plasticity, Gordon and colleagues provide us with a compelling example of and future direction toward such research.The author confirms being the sole contributor of this work and approved it for publication.The author declares that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "DMD gene and results in progressive wasting of skeletal and cardiac muscle due to an absence of functional dystrophin. Cardiomyopathy is prominent in DMD patients, and contributes significantly to mortality. This is particularly true following respiratory interventions that reduce death rate and increase ambulation and consequently cardiac load. Cardiomyopathy shows an increasing prevalence with age and disease progression, and over 95% of patients exhibit dilated cardiomyopathy by the time they reach adulthood. Development of the myopathy is complex, and elevations in intracellular calcium, functional muscle ischemia, and mitochondrial dysfunction characterise the pathophysiology. Current therapies are limited to treating symptoms of the disease and there is therefore an urgent need to treat the underlying genetic defect. Several novel therapies are outlined here, and the unprecedented success of phosphorodiamidate morpholino oligomers (PMOs) in preclinical and clinical studies is overviewed.Duchenne muscular dystrophy (DMD) is caused by defects in the DMD gene that lead to premature termination of translation and a complete loss of dystrophin protein in muscle cells. Dystrophin is a key regulator of mechanical stability within cells, providing a vital link between the sarcomeric cytoskeleton and the extracellular matrix via a complex of transmembrane proteins (dystrophin associated protein complex) ..mdx miceDuchenne muscular dystrophy is underpinned by a complex pathophysiology involving numerous signalling cascades. The extent to which the cellular disease mechanisms differ between skeletal and cardiac muscle remains unknown, but changes in calcium handling and mitochondrial dynamics are critical in establishing the phenotype. Corticosteroids have been successfully used to ameliorate the skeletal muscle phenotype for a limited time, and death from respiratory failure is declining due to the advent of better supportive strategies such as mechanical ventilators and management of respiratory tract infections with antibiotics and cough assistance. The therapeutic focus has therefore shifted towards developing treatment for dystrophic cardiomyopathy. Patients with better motor and pulmonary function are living longer, and engaging in activities that exert a greater cardiac load. Whilst pharmacological interventions such as ACE inhibitors and beta blockers can stabilise cardiac function to some extent, morbidity and mortality from heart failure in DMD patients remains high and there is an urgent need to develop treatments that prevent both motor, pulmonary and cardiac decline. Promising results from the eteplirsen study are at the current forefront of this field, and it is anticipated that minor modifications to the existing chemistry that improve uptake of the compound into the heart may greatly delay death from cardiorespiratory failure in DMD boys with the relevant mutation."}
+{"text": "There are more than 200,000 end stage renal disease (ESRD) patients who are potential transplant candidates and more than 100,000 previously transplanted renal recipients with functioning allografts in the United States . Fifty-seven percent of these patients are male and forty percent are greater than 50 years of age . Diabetes is the most common cause of kidney failure. It is evident that many patients are at high risk for development of urologic problems and thus it is estimated that the average urologist will care for up to ten of these patients yearly. Thus a review of the genitourinary (GU) evaluation and management of these patients is timely."}
+{"text": "In a normal pregnancy, decidual spiral arteries are transformed into wide diameter, non-vasoactive vessels capable of meeting the increased demands of the developing fetus for nutrients and oxygen. Disruption of this transformation is associated with PE and FGR. Very little is known of how these first trimester changes are regulated normally and even less is known about how they are compromised in complicated pregnancies. Interactions between maternal and placental cells are essential for pregnancy to progress and this review will summarise the challenges in investigating this area. We will discuss how first trimester studies of pregnancies with an increased risk of developing PE/FGR have started to provide valuable information about pregnancy at this most dynamic and crucial time. We will discuss where there is scope to progress these studies further by refining the ability to identify compromised pregnancies at an early stage, by integrating information from many cell types from the same pregnancy, and by improving our methods for modelling the maternal-fetal interface \u2022Pathology of PE/FGR begins in the first trimester.\u2022Investigating pregnancies with increased risk of PE/FGR is giving valuable information.\u2022This will improve further with advances in identifying compromised pregnancies. Trophoblast invasion and remodelling of the uterine vasculature occur in the first trimester of pregnancy and are tightly regulated in both a temporal and spatial manner. Information on the maternal-fetal interface in the first trimester can be gained from immunohistochemical studies however this does not give an indication of which dynamic cellular and molecular interactions are of functional importance in regulating these crucial events. In this review we will discuss some of the strategies taken to investigate the field, how they have informed what we know about the cell biology of normal pregnancies and those with placental complications and where the scope for future development lies.2Trophoblast invasion occurs in a tightly regulated manner, influenced by signals from the surrounding decidual environment. During the decidualisation process maternal immune cells are recruited to the uterus in significant numbers, with approximately 70% being decidual natural killer (dNK) cells, 20% macrophages and the remaining 10% T cells. During placentation, extravillous trophoblast (EVT) cells invade into the decidua and interact with this enriched environment of specialised immune cells. Cross-talk between the immune cells, stromal cells and the fetal EVT will contribute to regulating EVT invasion and the accompanying changes to the spiral artery structures required for successful pregnancy.Spiral artery remodelling involves the loss of vascular cells and matrix proteins and occurs in an orchestrated fashion. The initial steps involve activation and vacuolisation of endothelial cells (EC), hypertrophy and disorganisation of vascular smooth muscle cells (VSMC) and fibrinoid deposition EVT invasion can be either interstitial or endovascular with endovascular EVTs interacting directly with the EC while interstitial EVT interact first with the VSMCs. Invasion by either route will influence vascular structure via disruption of the heterotypic interactions between EC and VSMC known to be important for maintaining a healthy differentiated vessel There is increasing evidence that maternal immune cells in addition to the fetal EVT play important roles in the remodelling process. In humans all of the immune cell types are located around actively remodelling vessels The ability to investigate during the timeframe in which these changes are actively occurring is hindered by the difficulties inherent in studying human pregnancy. A wide-ranging evaluation of the cellular and molecular cross-talk at the maternal-fetal interface, at what is the most critical time in the first trimester, therefore remains to be performed. Being able to develop strategies to try and address this would advance our understanding of both normal human pregnancy as well as pregnancies complicated by PE and FGR.3Investigating vascular changes at a molecular or cellular level in early human pregnancy is restricted by ethical issues and while animals model some aspects of human pregnancy, they lack deep trophoblast invasion and comparable spiral artery transformation Access to human tissue is limited in ongoing pregnancies to that obtained during chorionic villous sampling (CVS) for genetic screening in the first to early second trimester, or that obtained following parturition. Some highly informative gene array studies have been carried out on tissue obtained from CVS suggesting that the decidual environment may be key in the establishment of placental pathology Placental tissue obtained at term comes from a pregnancy where it is known whether the woman developed PE or another placental complication and has the advantage that tissue is plentiful as the whole placenta can be studied. However this represents a time many months after active remodelling has occurred and any differences in the placentas of PE/FGR pregnancies may represent a consequence of the disorder rather than inform causative pathology. To investigate the decidua and myometrium, uterine biopsies can be taken at the time of delivery and histochemical studies carried out or cells and vessels isolated. This approach has proven useful in developing models of spiral artery remodelling where non-placental bed vessels are obtained and used in co-culture with EVT Tissue samples can also be obtained following termination of pregnancy in the first trimester. The approach taken by our group and others has been to focus on events occurring in the first trimester as this is the most informative time to study EVT invasion and vessel remodelling. Most studies using first trimester tissue have been done without any additional information to inform whether that pregnancy was developing normally. Herein lies the challenge as the clinical symptoms of conditions such as PE are not apparent until after 20 weeks gestation. How can we look at first trimester tissue and know whether it is from a normal or pathologic pregnancy? We have started to address this by using uterine artery resistance index (RI) measurements obtained by Doppler Ultrasound screening to identify women who would have had an increased risk of pregnancy complications had the pregnancy progressed, allowing us to divide the first trimester placental and decidual tissue into two study groups; that from pregnancies with a higher risk and a very low risk of developing PE/FGR. A disadvantage of this approach lies in the fact that many of the pregnancies designated higher risk in the first trimester would have ended up progressing normally despite the probable initial impairment. This will be addressed in the future studies section below. Even given this limitation we have reported fundamental differences in the behaviour of cells isolated from the fetal-maternal interface of high resistance index (RI) compared to normal RI pregnancies which will be described in the following section.4Studies of approximately 10,000 ongoing pregnancies showed that cases with a resistance index obtained from uterine artery Doppler scanning of >95th percentile (high RI) had a 5-fold increased risk of that pregnancy developing placental complications compared to those with a normal RI (<95th percentile) We have shown that primary trophoblast cells isolated from the hRI pregnancies are more sensitive to apoptotic cell death than those from nRI pregnancies, and this may be a contributing factor to impaired invasion Differences in how the maternal immune cells behave between these patient groups is also starting to become clearer with dNK cells from pregnancies with impaired remodelling showing abnormalities in secreted proteins and functional interactions with other decidual cells There is evidence for the involvement of dNK cells directly in spiral artery remodelling in\u00a0vitro, has increased our knowledge of how placentation in the first trimester develops normally and pathologically. There is however scope for much development of these areas in the future, which will be addressed in the following section.It is clear that studying the uterine artery Doppler screened patient groups, combined with improved techniques for isolating pure cell types and modelling events 5Improvements in early diagnostic tools are proving valuable clinically, for example reliable serum or metabolic biomarkers that more accurately predict development of PE before the clinical symptoms become apparent in\u00a0vitro culture systems are needed to look at dynamic multi-cellular interactions. Some of the general processes involved in spiral artery remodelling have been reported by a number of groups, including our own, using monolayer co-cultures in\u00a0vivo allowed us to determine which genes were differentially expressed following stimulation by trophoblast and show VSMC de-differentiation The complexities of modelling cellular interactions in a more 3-dimensional (3D) environment also provide challenges and potential for development. Immunohistochemical studies can provide much information about early human pregnancy however Advances in isolation and culture methods for primary cells means that multiple cell types can be isolated from first trimester tissue from an individual pregnancy. We routinely isolate stromal cells, dNK cells and macrophages as well as endothelial cells from decidual tissue of the uterine artery Doppler screened women. From the placenta we can isolate trophoblast, stromal, endothelial and macrophages. In the future the ability to look at multiple cell types across an individual pregnancy (with a known risk of developing complications) provides an opportunity for some complex profiling integrating information about genes, microRNAs, proteome and secretome with readouts from functional and biochemical cell based assays. This will allow us to start to get an overview of the maternal-fetal interface in an individual pregnancy. Determining whether this complex information can be integrated to model both normal and PE pregnancies will require strong collaborations with the bioinformatics and mathematical modelling fields. We will then be able to interrogate these models asking questions such as the importance of particular cellular or molecular interactions to successful placentation. The ultimate aim of developing robust models of the maternal-fetal interface would be to help in the identification of novel targets and the safe design of therapies.There is no conflict of interests."}
+{"text": "This article contains data related to the research article entitled \u201cA survey analysis of the wood pellet industry in Finland: Future perspectives\" [1]. The dataset include information about the importance of wood pellets on the global bioenergy development and role of wood pellets on the Finnish bioenergy development. Data leads to an expansion of knowledge and discoveries of new possibility for wood pellets industry analysis. Specifications TableValue of the data\u2022The data show opportunities and challenges of Finnish wood pellets development.\u2022It allows predicting the future wood pellets markets in Finland.\u2022Data helps to make future actions and managements for improving the development of wood pellets within the country and outside.\u2022Data leads to an expansion of knowledge and discoveries of new possibility for wood pellets industry analysis.\u2022The data can be used to analyze the wood pellets markets for other countries, similar opportunities and challenges can exist in many other European countries.1The shared data describes the role of wood pellets in bioenergy development in Finland 2The data analysis of the Finnish wood pellet industry was done using a qualitative approach. It based on literature reviews combined with the results of a questionnaire, which is a typical qualitative research method"}
+{"text": "Sepsis is an umbrella syndrome created by clinicians to identify patients with an acute infection and a high risk of death. The Sepsis-3 definition group recognized new organ dysfunction as the key indicator determining whether a patient falls into the group with a high risk of death or not . The samIn a recent issue of the Annals of Intensive Care, Sacha et al. reportedDue to the retrospective nature and the fact that the database contained only a limited set of variables, the authors could not report other hemodynamic parameters than MAP, catecholamine requirements and lactate levels. Given the striking difference in the response to AVP therapy, it is obvious that the two patient groups (AVP responders and AVP non-responders) relevantly differed in their hemodynamic status and hence their response to infusion of a strong vasoconstrictor drug such as AVP. This result underlines the common oversight of both intensivist and researchers that arterial hypotension and increased lactate levels in patients with sepsis would be signs of a uniform circulatory pathology. Basic physiology and recent research , 9 indicIndependent of these pathophysiologic speculations, the results of this study clearly underline that arterial hypotension alone is an inappropriate trigger for vasopressor or AVP therapy in critically ill patients (with sepsis). Instead of continuing our quest for a single therapeutic intervention miraculously capable of improving the mortality of a highly heterogeneous patient population, future clinical studies must elucidate the different and unique phenotypes hidden under the umbrella syndrome of sepsis and septic shock. Only with an improved understanding of the various pathophysiologic phenotypes presenting with arterial hypotension and elevated lactate levels in sepsis can adequate resuscitation strategies be developed and tested. Such resuscitation strategies must take these phenotypes with their specific time sensitivities to and indications for therapeutic interventions as well as appropriate resuscitation endpoints into account. In light of the missing answers to these fundamental questions of septic shock resuscitation, the current search for the ideal type of fluid, vasopressor, or inotropic agent appears of only minor relevance."}
+{"text": "Although the pathogenesis and clinical significance of cerebral white matter lesions remain controversial, it is well established that age and hypertension are the most important factors related to the presence of these lesions. Hypertension is known to be the most important factor for developing stroke and vascular dementia. In addition, the presence of cerebral white matter lesions is an important prognostic factor for the development of stroke, and also for cognitive impairment and dementia. The mechanisms underlying hypertension-related cognitive changes are complex and are not yet fully understood. Correlations between cerebral white matter lesions and elevated blood pressure provide indirect evidence that structural and functional changes in the brain over time may lead to lowered cognitive functioning when blood pressure control is poor or lacking.Some authors have suggested that the presence of white matter lesions in hypertensive patients could be considered an early marker of brain damage."}
+{"text": "Schizophrenia and bipolar disorder are severe mental disorders with unknown etiology. Our research group has studied biomarkers in the cerebrospinal fluid (CSF) of twins with schizophrenia and bipolar disorder to be able to determine the genetic and environmental influences. In brain disorders, CSF is the most appropriate substrate to study as it may reflect the brain biochemistry better than blood. In this presentation I aim to give an overview of our findings and their relation to psychotic disorders. I intend to present our most recent preliminary finding and to discuss future prospects.We studied CSF-markers from a cohort of 50 monozygotic (MZ) and dizygotic (DZ) twins with schizophrenia or bipolar disorder. The twins have gone through diagnostic assessments and have been extensively phenotyped with questionnaires, symptom scales for psychiatric symptoms as well as neuropsychological testing. We have analyzed monoamines, microglia-, neurodegenerative-, kynurenine-, and inflammatory markers using immunoassays and high-performance liquid chromatography techniques. We have also studied microscopic structures with scanning electron microscopy.One of our main findings was that soluble cluster of differentiation 14 protein (sCD14) was higher in twins with schizophrenia or bipolar disorder compared to their not affected co-twins. A later analysis showed that the difference within the discordant twin-pairs was higher in the DZ twin pairs compared with the MZ twin pairs suggesting that genetic components along with unique environmental effects have an influence on the higher sCD14 levels in patients with schizophrenia and bipolar disorder. We also found that sCD14 was higher in those patients with more psychotic symptoms.In our study on microscopic structures in CSF we found that the structures were prevalent not only in the patients with schizophrenia and bipolar disorder but also in their not affected co-twins. The finding suggests that genetic factors may be partly involved in the formation of the structures.We have analyzed inflammatory and neurodegerative markers in the CSF of twins with psychotic disorders to be able to study genetic and environmental influences. Our results indicate that sCD14 may have an influence on microglia activation in psychosis. We have continued with analyses on the correlations between all the markers, the monoamine metabolites and associations with symptoms and cognitive ability and the preliminary results from these analyses will be presented.To conclude CSF analyses for biomarkers in twins may result in extended knowledge regarding the genetic and environmental relationships. Our unique twin data gives us the possibility to study CSF-markers in relation to psychiatric symptoms and cognitive measures. For future studies it would be of interest to assemble twin-samples from several research groups to be able to study research questions regarding gene and environment interactions."}
+{"text": "Understanding exactly how disparity is processed from binocular views of the world is a long standing problem in vision. It has been hypothesised that an important first step in visual processing is to generate an energy efficient sparse coding of visual inputs. This reduces both noise and redundancy. Mathematical models of such codings have been found to produce components that resemble the responses of simple cells in V1. Similar results with binocular inputs suggest that these methods can be used to build hypothetical models of early binocular visual processing. In our study we have used Independent Components Analysis in the vein of work by Hyv\u00e4rinen and colleagues to find components that form an efficient coding of binocular visual inputs. The distribution of these components was analysed. We found statistical evidence for a bimodal distribution of interocular differences in phase tuning, further strengthening the summation/difference channels theory of Li and Atick (1994). We have also found components tuned to detect mixtures of phase disparity and position disparity in each view similar to the physiological findings of Anzai et al. (1997). This is consistent with the arguments of Read and Cumming (2007) that both phase disparity and position disparity are necessary for stereopsis."}
+{"text": "Laboratory mouse strains are known for their large phenotypic diversity and serve as a primary mammalian model in genotype-phenotype association studies. One possible attempt to understand the reason for this diversity could be addressed by careful investigation of the unique evolutionary history of their wild-derived founders and the consequence that it may have on the genetic makeup of the laboratory mouse strains during the history of human fancy breeding. This review will summarize recently published literature that endeavors to unravel the genetic background of laboratory mouse strains, as well as give new insights into novel evolutionary approaches. I will explain basic concepts of molecular evolution and the reason why it is important in order to infer function even among closely related wild and domesticated species. I will also discuss future frontiers in the field and how newly emerging sequencing technologies could help us to better understand the relationship between genotype and phenotype."}
+{"text": "Many biomedical studies of the past seven years have failed in giving a sound picture of what hookah smoke and smoking are. The reasons are many: from the widespread use of a confusing neologism (\u201cwaterpipe\u201d) instead of the few clear and natural words used for centuries by indigenous and non-indigenous people in their real life, to the use of artificial smoking (machines) instead of relying on quantitative and qualitative analysis of toxicants directly performed on real hookah smokers."}
+{"text": "The ideal size of intramedullary device to fix corrective osteotomy of proximal femur in abnormal bone in children and small patients may not be easily available. We report the successful use of Rush rod in combination with multiple Kirschner wires to fix the corrective osteotomy of coxa vara and shepherd crook deformity in two patients with osteogenesis imperfecta and fibrous dysplasia. The union was achieved on time, neck shaft angle and rotation were maintained. It is especially common in abnormal bone like fibrous dysplasia and osteogenesis imperfecta. Correction of these deformities will improve limb length discrepancy. It will also improve the hip abductor mechanism by correcting the working length of abductor muscle thus correcting Trendelenburg gait. Fixation for corrective osteotomy for coxa vara or shepherd\u2019s crook deformity in abnormal bone like osteogenesis imperfecta and fibrous dysplasia in children and small patients is challenging due to difficulties to obtain appropriate size of intramedullary nail to fit a small bone. Plates and screws are not the preferred method due to stress points on both ends that may lead to fractures. We report the successful modification of the technique described by Fassier The first patient was a 14-year old boy with fibrous dysplasia who presented with limping due to worsening deformity of the left femur . The TreThe second patient was a 14-year old girl with osteogenesis imperfecta who presented with inability to ambulate without walking frame since sustaining a fracture of the proximal femur six years prior to presentation . She hadWe performed the procedure in both patients in the supine position with standard lateral exposure. Transverse osteotomy was carried out at the subtrochanteric level. The proximal segment was reamed retrograde from the osteotomy site using cannulated drill to ensure it started at the lateral most and exited at the greater trochanter. Next, a few Kirschner wires sized 1.6mm were inserted from the lateral femur at subtrochanteric level to the neck. These wires acted as joy-sticks during manipulation of the proximal femur to the required neck-shaft angle (NSA). The distal segment was also reamed using cannulated drill bit to ensure no penetration of the cortex. In the first patient, a Rush rod of selected length and diameter was inserted antegrade from the greater trochanter to the osteotomy site. The Rush rod was then passed through the osteotomy side to distal femur while the NSA was maintained by the Kirschner wires . In the An ideal implant for fixation of osteotomy for this deformity of abnormal bone would be an intramedullary nail with proximal locking screw to the neck to maintain the correction of NSA and distal locking screw to provide stability. Inability to obtain correct diameter and length of intramedullary locking nail at the time of the surgery prompted us to look for an alternative method.2. In 2003, Fassier improved this technique by combining Wagner\u2019s method with Finidori\u2019s technique which used telescopic rods to fix the subtrochanteric corrective osteotomy1. Fassier et al in 2008 showed satisfactory outcome with this technique in 18 hips with osteogenesis imperfecta and three hips with fibrous dysplasia 3. There was a complication rate of 12% which was largely implant related.One of the early methods in correcting coxa vara is the Wagner method that involves passing two Kirschner wires through the femoral neck and the external portion of the wires moulded and fixed to the femoral shaft by cerclage wireset al3, we modified the technique by using Rush rods as the intramedullary fixation device. Apart from its low cost, it is also a strong solid nail. The Rush rod can be cut according to the desired length as opposed to either intramedullary locking nail or Fassier-Duval nails. Furthermore, in proximal lesions, we were able to control the length of the rod so that it did not breach the distal femur growth plate, as seen in our first patient.Instead of using telescopic rods, as reported by Fassier 4. This modified method provides intramedullary load sharing fixation to the osteotomised bone for long term support. The Kirschner wires that are placed through the neck with the distal half bent and held to the side of the shaft by cerclage wire maintain the NSA as well as prevent rotation. Rotational instability is the limitation faced by the FassierDuval telescopic rod5. In order to achieve an acceptable NSA and rotational alignment, the position of cerclage wires must be distal to the osteotomy site. This method provides relative stability to facilitate union. When the nail is properly positioned with a snug fit in the proximal fragment, as seen in the second patient, two Kirschner wires are adequate to maintain NSA and rotation. In case of fibrous dysplasia, the implant may be removed once the lesion has completely healed. In the case of osteogenesis imperfecta, we propose not to remove the implants unless complications arise.Another difference from the original procedure described by Fassier, was that we did not penetrate the lateral cortex of distal of proximal fragment. Instead, we used cannulated drill bit to create canal in the lateral most part of the shaft. This is possible in an abnormal bone that has big lateral diameter in mal-united fibrous dysplasia bone (first patient) and oval shape osteogenesis imperfecta bone (second patient). If greater valgus correction is required, the penetration through lateral cortex should be chosen. The use of cannulated drill bit is an important step to avoid cortex penetration at unwanted locations especially in deformed and soft osteogenesis imperfecta bone. This method ensures the desired direction of canal to maintain the NSA and avoids the piriformis fossa which might cause injury to important retinacular vessel to the femoral head in immature patientsWe would also like to highlight that in the second patient with osteogenesis imperfecta, the Rush rod was inserted in a retrograde manner through the knee joint. A retrograde entrance from the knee allows protection of the whole femur from the intercondylar notch where the hook of the Rush rod sits firmly, through the shaft till proximal penetration in the piriformis fossa. We think that it is worth taking the risk of causing joint stiffness with the benefit of reducing the risk of recurrent fracture in osteogenesis imperfecta patients. This patient did not develop any limitation of knee motion. However, the patient should still be warned regarding the possibility of joint stiffness and long term complications.Based on the experiences gained from these two cases, we are of the opinion that our modified method can be an alternative when an appropriately sized interlocking nail is not available for correction of coxa vara or shepherd\u2019s crook deformity in abnormal bone."}
+{"text": "Proteinuria is common in diabetic patients and usually reflects the presence of diabetic glomerulosclerosis. This paper reviews the differential diagnosis of proteinuria in diabetic patients and discusses the role of renal biopsy examination in identification and management of minimal change disease in this cohort. Identification of nondiabetic glomerular disease requires careful correlation of clinical history and renal biopsy findings and may have important implications for prognosis and therapy."}
+{"text": "Ion mobility spectrometry was first introduced to the analytical community in 1970 as an ultratrace organic technique under the name of plasma chromatography. Using highly sensitive ionization methods commonly employed in electron capture detectors coupled with an atmospheric pressure drift region to separate ions produced, it had the potential for widespread application in the separation and detection of trace quantities of organics.As researchers began to investigate the method, a number of serious problems rapidly became evident: Competitive ion-molecule reactions which occurred in the ionization region of the detector limited its use as a quantitative instrument when complex mixtures were introduced into the spectrometer. Long residence times (sometimes measured in hours) in the spectrometer prevented practical application to a large number of samples. Often spectra for a single component were found to contain multiple ion peaks, hopelessly complicating true multicomponent interpretation.We designed and constructed an ion mobility spectrometer that was specifically suited for the detection of trace organics after separation by high resolution gas chromatography . Using aMore recently, our work has led to investigation of the mobility of ions produced from organic compounds with molecular weights higher than those that can be conveniently eluted from a gas chromatograph. One approach to achieve this goal has been to use supercritical fluid chromatography as the introduction method for IMS ,9. BesidNow that interfaces and operational modes for the ion mobility detector have been developed for both gas and supercritical fluid chromatography, the methodology is being investigated for application to real samples. The real challenge for ion mobility spectrometry as a chromatographic detector, however, lies in the detection of compounds separated by liquid chromatography. A significant step toward achieving this goal is the recent development of an electrospray ion source for IMS. By introducing the effluent from a liquid stream into the spectrometer via an electrically charged capillary, we have been able to capture ion mobility spectra from nonvolatile compounds dissolved in the mobile phase. The practical utility of this method of ionization is currently under investigation."}
+{"text": "There is debate over the mechanisms that govern the orienting of attention. Some argue that the enhanced performance observed at a cued location is the result of increased perceptual sensitivity or preferential access to decision-making processes. It has also been suggested that these effects may be the result of trades in speed for accuracy on the part of the observers. In the present study, observers performed either an exogenous or an endogenous orienting of attention task under both normal instructions (respond as quickly and as accurately as possible) and speeded instructions that used a deadline procedure to limit the amount of time observers had to complete a choice reaction time (CRT) task. An examination of the speed-accuracy operating characteristics (SAOCs) yielded evidence against the notion that CRT precuing effects are due primarily to a tradeoff of accuracy for speed."}
+{"text": "Severe corneal complications associated with the use of anti inflammatory drugs (NSAID) eye drops are known. We report the case of a patient of 57 years treated for rheumatoid arthritis with a central corneal perforation of the right eye following the use of indomethacin eye drops in the postoperative period following cataract surgery. The image shows a paracentral corneal perforation with iris prolaps. The course was favorable with improvement in visual acuity and complete healing of the corneal perforation after stoping indometacin and using of bandage contact lens. The anti inflammatory drugs should be avoided in cases of rheumatoid arthritis because they increase the risk of perforation. Indomethacin, like other molecules in the same therapeutic class should be used with caution in patients with general risk factors of suffering from ocular surface."}
+{"text": "Human hantavirus disease cases, caused by Puumala virus (PUUV), are mainly recorded in western and southern areas of Germany. This bank vole reservoir survey confirmed PUUV presence in these regions but its absence in northern and eastern regions. PUUV occurrence is associated with the presence of the Western bank vole phylogroup. Myodes glareolus causes most hantavirus disease cases in Central and Western Europe and is the only human pathogenic hantavirus in Fennoscandia revealed 79 positive and 361 negative samples Table. AIncluding results of previously published studies Table. Acytochrome b PCR was performed and used for determination of the bank vole evolutionary lineages as described previously according to manufacturer\u2019s guidelines. The cytochromeb\u2013based typing revealed the presence of the bank vole Western, Eastern, and Carpathian evolutionary lineages is preferentially associated with the presence of the Western evolutionary lineage of the bank vole, but the virus was also detected in sympatric animals of the Eastern or Carpathian lineage. Future studies will have to determine if the current distribution of PUUV can be explained by the postglacial colonization of Germany by bank voles of the Western evolutionary lineage from western refugia through southern Germany (The observed limited geographic distribution of PUUV in bank voles has important implications for public health measures and development of early warning modules for hantavirus outbreaks. These public health measures of monitoring local bank voles for PUUV strains (Serologic and molecular Puumala virus detection in bank voles from Germany and bank vole evolutionary lineage, and Puumala virus phylogenetic tree reconstructed with novel and published partial small segment sequences."}
+{"text": "Chemokines are a family of polypeptides that direct the migration of leukocytestoward a site of infection. They play a major role in autoimmune disease and chemokine receptors have recently been found to mediate HIV-1 fusion. In this short review we examine the role of chemokines in host defence and in the pathophysiology of autoimmune diseases. We conclude by discussing various therapeutic approaches that target chemokine receptors and that could be beneficial in disease."}
+{"text": "To the editor,We read with interest the recent case of an unusual intravesical foreign body reported by Bansal et al. . A case The authors allude to the array of intravesical bodies that have been reported and mention the psychological reasons for self insertion . It shouThe important role of radiology in determining the luceny, location and size of foreign bodies is discussed and the preference for endoscopic management is mentioned . The incThe authors conclude by discussing urogenital fistulae as a consequence of foreign body insertion. Recent reports have highlighted the additional acute complication of urethral avulsion following polyembolokoilamania necessitating emergency urethroplasty .Finally, it should be acknowledged that not all cases of self embedding behaviour require intervention as some patients deliberately request no intervention and repo"}
+{"text": "A retrospective detailed study of 272 cases of breast carcinoma treated by radical mastectomy was published by Hamlin (1968). An extended analysis of the material for 258 of these cases is now reported.Data for 21 prognostic factors from 258 patients have been subjected to multiple regression analysis to determine the independent effect and thus the relative importance of each factor. The findings confirm previous single factor analyses and demonstrate that nine of the factors are independently associated with survival.Mathematical manipulation of the information obtained in this analysis allowed a risk score to be allotted to each patient. Grouping of patients by the prediction scores is found in this series to be more closely related to survival than is clinical staging of the same patients."}
+{"text": "A bioluminescence technique involving single photon imaging was used to quantify the spatial distribution of the metabolites ATP, glucose and lactate in cryosections of various solid tumours and normal tissue. Each section was covered with an enzyme cocktail linking the metabolite in question to luciferase with light emission proportional to the metabolite concentration. The photons emitted are imaged directly through a microscope and an imaging photon counting system. In some cases, good agreement was observed between the distribution of relatively high concentrations of ATP and glucose in viable cell regions of the periphery, while the reverse was seen in more necrotic tumour centres with comparatively high lactate levels. In general, lactate was distributed more diffusely over the sections while ATP was more highly localised and glucose assumed an intermediate pattern. In contrast to the large degree of heterogeneity seen in tumours, distribution patterns of metabolites were much more homogeneous in normal tissue, such as heart muscle. Mean values for metabolite levels in cryosections using bioluminescence are in good agreement with those obtained from the same tumour by conventional methods."}
+{"text": "A single treatment of adult animals with the potent carcinogen NMU was known to induce tumours in a wide variety of organs, with the notable exception of liver. Administration of NMU after partial hepatectomy gave rise to the first liver cell adenomata ever observed in rats due to this carcinogen. The tumours were induced when NMU was given during the period of increased DNA synthesis but not when given early in the pre-replicative period. Although tumours were induced in other organs, the incidence of these did not correlate with the timing of NMU administration. It is suggested that replication of damaged DNA may be a relevant event in carcinogenesis."}
+{"text": "Distress associated with attendance at a radiotherapy department was assessed in 80 consecutive patients. All patients were interviewed within 24 h of their first fraction of radiotherapy; 31 patients were also interviewed at the end of treatment. The problem identified at first interview as causing the most distress was worry about the effects of disease and its treatment upon the patient's family. At second interview the dominant complaint was of not being allowed to wash. Psychological problems, including anxiety and sleep disturbances, caused more overall distress than did physical symptoms. The method used in this study for eliciting information on the side-effects of therapy is straightforward and has yielded data that are provocative and suggest interesting avenues for further investigation."}
+{"text": "A novel tumour system has been used to study the effect of natural killer cells on tumour growth by using agents which modify natural killer cell activity. The tumour cells are hybridoma cells which secrete antibody specific for red blood cells so that tumour growth can be quantitated by a haemolytic plaque assay. Spleen-seeking variants have been derived from original hybrids which are sensitive to natural killer cells. Treatment of mice with polyinosinic-polycytidylic acid substantially enhanced natural killer cell activity and correlated closely with a reduction in the growth of the hybridoma tumour cells in the spleen and life extension. Conversely, a single injection of anti-asialo GM, antibody resulted in a substantial increase in the number of plaque forming splenic tumour cells and virtual elimination of natural killer cell activity. These data demonstrate the important role of natural killer cells in constraining the growth of a tumour of B cell origin and establishes the usefulness of this tumour model in studying the biology of effects on tumour growth."}
+{"text": "An audit was carried out of 51 oncology patients referred to a clinical psychology service to identify the characteristics of patients selected for referral and to assess change following psychological intervention. A survey was conducted of an unselected sample of oncology patients representative of the workload of the oncology department from which the referrals came, to determine the prevalence of comparable psychosocial problems among patients who were not referred for help and to assess whether doctors were aware of the problems patients reported. Data were collected using the Hospital Anxiety and Depression (HAD) and Mental Adjustment to Cancer (MAC) scales and a problem checklist devised for this study. Referred patients were significantly more anxious and depressed (P < 0.001) and showed poorer adjustment on MAC scales than the surveyed sample, but 30% of the latter group warranted assessment for anxiety and 23% for depression. The number of psychosocial problems of their severity. Intervention was clinically significant mood disorder irrespective of the specific problems of their severity. Intervention was associated with a significant improvement in distress and problems for referred patients by the time of discharge. Psychosocial problems were often undetected by staff even in referred patients. The checklist is a feasible screening method for potentially remediable problems which are cumulatively a significant contributor to cancer patients' distress."}
+{"text": "Across the pharmaceutical industry, there are a variety of approaches to laboratory automation for high throughput screening. At Sphinx Pharmaceuticals, the principles of industrial engineering have been applied to systematically identify and develop those automated solutions that provide the greatest value to the scientists engaged in lead generation."}
+{"text": "Drosophila species Dobzhansky and Sturtevant provided the first view of the molecular basis of species identity in their 1938 seminal study classifying the chromosome rearrangements that distinguish two PLoS Genetics, Lucia Carbone et al. Nomascus leucogenys leucogenys) to address a fascinating problem in evolutionary biology: why are some groups of organisms characterized by a high frequency of chromosome change while others are karyotypically stable?The view that has emerged over the last decade, with a sharp acceleration since the publication of the human genome sequence, is of a fluid genomic landscape that is dotted with evidence of both large- and fine-scale chromosome rearrangements. What has remained a mystery are the mechanisms responsible for chromosome rearrangements that karyotypically define species. In this issue of Gibbons are members of the Hominoidea superfamily, which includes humans and great apes, but they are unique among Hominoidea, and indeed rare among mammals, in having experienced an extraordinarily high rate of karyotypic change Building on their previous work defining the synteny map for the northern white-cheeked gibbon with respect to its human cousin, these authors used a comparative genomics approach to analyze sequences spanning breaks of synteny for repeat distribution and genomic signatures that would lend some insight into the mechanism of interchromosomal rearrangement. Corroborating data from other studies on a smaller set of gibbon breakpoints Rather than simply quantifying the repeat classes at the gibbon-specific breaks of synteny, Carbone et al. took this study one step further by asking whether the epigenetic signatures of specific repeat classes may be an important distinguishing feature in highly divergent genomes. Previous work has shown that gibbon Alu elements are more active than their human counterparts The epigenetic alteration of genomic sequences by DNA methylation is appreciated as a major regulatory force in the evolution of genome structure and expression, and is known as a potent regulator of mobile DNA activity. Through bisulfite sequence analysis, the authors show that the gibbon Alus are undermethylated compared to their human orthologues. The authors suggest these epigenetic differences between human and gibbon as a possible mechanism to account for the disparity in the number of chromosome rearrangements between the gibbons and old world primates.The proposal that mobile DNA itself participates in DNA rearrangement is not new to biology. Mobile elements, such as transposons and retrotransposons, were first implicated in DNA rearrangements in studies of maize by McClintock The novelty in this study is that there is hypomethylation of the gibbon Alus at evolutionary breakpoints, and thus the epigenetic architecture of these regions may have facilitated the rearrangements in the gibbon karyotype. The lower levels of methylation in these repeats may lead to an open chromatin configuration that increases the opportunity for double-strand breakage and repair mechanisms such as intrachromosomal non-allelic homologous recombination and non-homologous end joining . HoweverMcClintock first implicated transposable elements in the speciation process when she stated that \u201cspecies crosses are\u2026a potent source of genomic modification\u201d and that \u201cmajor restructuring of chromosome components may arise in a hybrid\u201d Exciting advances in sequencing technology will now afford full genome-scale methylation studies that can offer insight into the diversity of elements that may be differentially methylated between gibbons and humans, and whether Alus are the sole target. Additionally, testing for a similar association between mobile DNA and methylation state at breaks of synteny in other species groups that have experienced rapid karyotypic change are exciting areas of future work that may finally shed light on the mechanisms responsible for the chromosome diversity observed in a broad range of species."}
+{"text": "Corresponding dose-effect curves obtained for growth of the primary tumour (Pr) and its metastases in unirradiated tissues showed that local irradiation of Pr caused an exponential decrease in growth of metastases due to any dissemination occurring after irradiation, but was also responsible for stimulating growth of metastases already established before treatment in lymph nodes and in lungs. This stimulating effect was most marked when Pr was larger at the time of treatment and when high doses were given to eradicate Pr. This effect is attributed to the liberation of growth stimulating substances (GSS) from a pool of GSS produced in the irradiated Pr by sterilized, but metabolically active and growing tumour cells (HR cells). This effect of HR cells on tumour growth and metastases was also demonstrated when rats were inoculated with viable tumour cells and subsequently treated by injecting large doses of HR cells prepared The systemic effects of GSS on metastases were most clearly seen after immunosuppression of recipient hosts by sublethal whole body irradiation, since immunosurveillance in unirradiated rats resulting from a rapidly developing allogenic tumour-host incompatibility caused marked reductions in clonogenicity of the tumour which tended to overshadow the GSS effect. The latter was also masked in immunosuppressed hosts when excessively high rates of dissemination were due to growth of large Pr inocula for sufficiently long to \u201csaturate\u201d the capacity for growth of metastatic tumour in lymph nodes and lungs.The relevance of these findings to clinical radiotherapy is discussed."}
+{"text": "Immunofluorescent tracing by rabbit antiserum with specific reactivity against intestinal mucosa revealed cross-reaction with human ovarian mucinous cystadenoma epithelium and not with epithelium of any of several other human mucous epithelia. The mucinous cystadenoma epithelium apparently contains at least one but not all of the specific intestinal mucosal antigens. The findings support the view that such tumours are histogenetically of intestinal type, as might occur for example by unilateral intestinal development of a teratoma."}
+{"text": "Since PLA2 carry out their catalytic function at membrane surfaces, the kinetics of these enzymes depends on what the enzyme \u2018sees\u2019 at the interface, and thus the observed rate is profoundly influenced by the organization and dynamics of the lipidwater interface . In this review we elaborate the advantages of monitoring interfacial catalysis in the scooting mode, that is, under the conditions where the enzyme remains bound to vesicles for several thousand catalytic turnover cycles. Such a highly processive catalytic turnover in the scooting mode is useful for a rigorous and quantitative characterization of the kinetics of interfacial catalysis. This analysis is now extended to provide insights into designing strategy for PLA2 assays and screens for their inhibitors.Several cellular processes are regulated by interfacial catalysis on biomembrane surfaces. Phospholipases A"}
+{"text": "This is my third year working for the Kuru Research Project and I have been assigned to take charge of the fieldwork. Our fieldwork is based in Waisa village and we have nine field patrol officers who make five teams for kuru surveillance right around the four corners of Okapa District. There are two technical officers based in the field transcribing interview tapes recorded by Jerome Whitfield, Sena Anua and myself.five suspected kuru patients have \u2018recovered\u2019 and are well;five suspected kuru patients are still sick with no change of symptoms and are diagnosed as not having kuru; andfour suspected kuru patients have died from other disease.One patient, a man aged 62 years, died of kuru in March 2005. There were 14 suspected cases of kuru from January 2005 to September 2007:Arrange field patrols for kuru surveillance of villages in remote parts of the kuru-affected region every quarter and prepare a report.Assist Jerome Whitfield in conducting interviews on the cultural and mortuary practices of the Atigina and Pamusagina people.Diagnose and film suspected kuru patients and compile reports for Jerome and Michael Alpers.Check and regularly report on the sickness status of suspected kuru patients.Transcribe recorded tapes from the Fore language into English.The other responsibilities in the field are:"}
+{"text": "In comparison with normal controls the number of colony forming cells (CFC) is moderately increased (about three-fold) in the bone marrow and enormously increased in the peripheral blood of untreated patients. In the peripheral blood their number in general is related to the total leucocyte count. In patients whose blood counts have been restored to normal by the use of cytotoxic drugs the number of CFC in the peripheral blood is very greatly reduced. In the marrow of treated patients CFC are present in approximately normal numbers. When used as feeder layer sto support the culture of normal bone marrow cells, the peripheral blood leucocytes of untreated patients are a uniformly poor source of colony stimulating factor (CSF) and fractionation experiments suggest that this is not due merely to a relative scarcity of monocytes. After treatment the peripheral blood has normal CSF activity and this is associated with the monocytic cell component. The last data may be explained in either of two ways: it is possible that restoration of the blood of patients with CGL to normal values removes a homeostatic factor suppressing the formation of CSF by functionally normal monocytes, or alternatively treatment with cytotoxic drugs leads to the replacement of defective monocytes by a population of relatively normal CSF producing cells.We have used the technique of human haemopoietic cell culture in agar to study the peripheral blood and bone marrow colony forming capacity of 23 patients with Ph"}
+{"text": "The VX2 carcinoma has been used extensively as an experimental model for different aspects of tumour behaviour and is usually maintained by serial intramuscular injections of tumour cells. The tumour grows rapidly, infiltrating between muscle bundles into the fibrous tissue replacing ischaemic muscle and into the vascular tree. The most interesting method of spread occurs within the sarcolemma and this may be responsible for the rounded cell nests described in this tumour."}
+{"text": "Sir,Intravenous drug therapy is the corner stone of patient management in today\u2019s hospital practice and the discipline of pediatrics is no exception. The drug dosage in pediatrics is usually calculated according to the body weight or surface area leading to less cumulative dose when compared to adults. Unfortunately there are no separate pediatric drug dose formulations for most of the commonly used drugs. It is a Intravenous drug dosage for pediatric use is often limited by the strength of the drugs available commercially, especially in developing countries. Most druSince in developing countries like India where sepsis is the leading cause of mortality necessitating the use of antibiotics, it is high time the medical fraternity realizes this potential lacuna in treating pediatric patients. We feel that the pharmaceutical majors should realize the urgent need to introduce commonly used drugs, especially life-saving medicines in doses suitable for pediatric use so that the basic right of every child to receive safe medication is not jeopardized."}
+{"text": "We show that, from the earliest morphologically recognisable stages of development, mouse skin papillomas induced by a chemical initiation-promotion regime are polyclonal. We have demonstrated polyclonality directly by immunohistochemical staining of the mosaic cell populations in embryo aggregation chimaeras, a method which removes some of the uncertainties of previous conclusions based on analysis using electrophoretic polymorphisms. The findings may imply that initiation within a single cell and promotion of its clonal descendents is not a sufficient explanation for the origin of these tumours and that interaction between cells of more than one clone is involved."}
+{"text": "Current data from in vitro and in vivo animal models indicate that fibronectin-binding integrin receptors expressed by colon cancer cells may regulate tumour growth. While individual members of the beta 1 subfamily of integrins have now been clearly identified in colorectal cancer, little information exists with respect to the alpha V subfamily. In the present study we show that alpha V can associate with multiple and different beta subunits capable of binding fibronectin in this tumour type. This is likely to have functional implications for growth and spread of colorectal cancer."}
+{"text": "Adrenocortical activity has been assessed in patients with inoperable carcinoma of the bronchus or with disseminated malignant disease of other organs. The mean basal plasma cortisol level was higher in the former than in the latter and both were higher than the controls. Each had abnormally high midnight levels, particularly those with oat cell carcinoma of the bronchus. After the administration of a single dose of dexamethasone both groups suppressed poorly compared with the controls. Failure to suppress was associated with a poor prognosis."}
+{"text": "The method of measuring changes in the structuredness of cytoplasmic matrix (SCM) in single cells is described. Data on SCM distributions and fractions of human lymphocyte populations which respond to stimulations with PHA and CaBP in healthy donors and patients with malignant disorders are presented."}
+{"text": "It has been shown that lymphocytes isolated from the peripheral blood of patients with chronic lymphocytic leukaemia do not modify the mustard group of chlorambucil, as has been demonstrated previously in Yoshida ascites cells. However, lymphocytes from patients with an unsatisfactory clinical course or poor response to treatment were able to modify the aromatic region of the drug molecule; little change occurred in the aromatic absorption of intracellular chlorambucil in patients who responded to treatment. This simple test may provide a rapid assessment of a patient's potential response to chemotherapy."}
+{"text": "The liver is morphologically and functionally modulated by sex hormones. Long-term use of oralcontraceptives and androgenic steroids can induce benign and malignant hepatocellular tumors.Hepatocellular carcinoma (HCC) is more prevalent in men than in women. The role of sex hormonesand their receptors in the development of HCC was reviewed. Some HCCs may be androgen dependentbut others may be estrogen or even both dependent. Further studies are mandatory in order to utilizesuch characteristics of HCC for an effective prophylaxis and therapy of this tumor."}
+{"text": "We investigated cases of shigellosis in San Francisco and Alameda Counties identified during 1996 by active laboratory surveillance to assess the role of HIV infection as a risk factor for shigellosis. Dramatically elevated rates of shigellosis in HIV-infected persons implicate HIV infection as an important risk factor for shigellosis in San Francisco."}
+{"text": "This study was completed as part of a project for the Quality Assurance Agency on the enhancement theme of 'Research teaching linkages: enhancing graduate attributes' in the disciplines of Medicine, Dentistry and Veterinary Medicine. The aims of this investigation were to elucidate a list of desirable research related graduate attributes for the disciplines of Medicine, Dentistry and Veterinary Medicine and provide evidence as to how they could be covered within such curricula.Semi structured interviews, symposium breakout sessions and conference workshops were used to define and rank attributes suggested by curricula design experts from the three disciplines. Students graduating from a BSc Medical Science degree program were surveyed to determine how well they felt the curriculum and associated final year project equipped them with the identified attributes.A list of seven high level attributes which were desirable in graduates wishing to pursue either a professional or research career were identified. 105 students reported that a final year project was particularly effective at developing an understanding of the need to have an inquiring mind and critical appraisal skills whilst other components of their degree course covered team working skills, core knowledge and an understanding of ethics and governance.This study identified desirable attributes from graduates from medical, dental and veterinary degree programs and provides evidence to support the case for student projects helping to achieve both clinical and research related graduate attributes in medical undergraduates. The project also provides a focus for debate amongst those involved in curriculum design as to whether the attributes identified are those desirable in their graduates and to examine their current curriculum to determine coverage. The study reported here was part of a project funded by the Quality Assurance Agency (QAA) Scotland Enhancement theme programme investigating 'Research teaching linkages: enhancing graduate attributes' in the disciplines of Medicine, Dentistry and Veterinary Medicine . One comThere has been debate regarding the shortfall in graduates from professional degrees who opt to include research in their career plans. The Selborne Report raised concerns over the future of Veterinary Medicine research , whilst Professional attributes should already be covered within the curriculum as required by the governing bodies the General Medical Council (GMC) , the GenAlso of interest is the opinion of students graduating from such professional/vocational programs as to whether the courses do cover the attributes discovered. The BSc in Medical Sciences at St Andrews is a three year Honours degree program, after which graduates move on to their clinical years at other Medical Schools. The program itself is designed to provide 'an excellent scientific foundation for clinical practice' and therThe first aim of this study was to identify what research related graduate attributes were desirable in graduates from Medical, Dental or Veterinary degrees. A secondary aim was to determine whether such research related attributes can be covered in a curriculum whose content is governed by regulating bodies. The third and final aim was to investigate student opinion as to whether a course designed to provide a scientific foundation in Medicine would equip graduates with the identified attributes.Semi structured interviews were carried out with key staff members responsible for curriculum design from all Medicine, Dentistry and Veterinary Medicine schools in Scotland. Interviewees were purposively selected as being involved with curriculum design within their school. Further interviews were carried out with selected staff from English schools. These schools were selected to provide a wide range of views from different teaching and learning environments. The interview was structured around the Quality Assurance Agency enhancement theme 'Research-Teaching Linkages: enhancing graduate attributes' aims, and was piloted with two participants from different Medical schools, after which minor revisions were made.A total of 24 interviews were completed, either in person or over the telephone. Sampling was concluded once all Scottish schools and the selected English school representatives were interviewed. Interviews were recorded and transcribed. Of interest to this study was the question: 'Can you name 10 key research attributes that graduates from your course should have?'Qualitative analysis of the transcripts was carried out using a grounded theory approach . Two of Quote 1: 'Asking questions, as in a method of learning an enquiring mind'Quote 2: 'Encouraging aspects of the personal and professional behaviour such as being interested in a problem enough to try and find out more about it'Delegates (n = 58) at the symposium 'Research Teaching Linkages in the disciplines of Medicine, Dentistry and Veterinary Medicine', discussed the list of attributes during small group breakout sessions. Group composition was balanced to ensure they contained representatives from each discipline. Using a variation of nominal group technique, participants were asked to discuss and define the predefined list of attributes and rank them in order of preference from a professional standpoint and then again from a research standpoint. Groups were invited to discard any attributes they thought were not vital. During collation of the results from all groups, attributes ranked by less than three out of the five groups at the symposium were discarded. Attributes that were deemed vital by three or more groups at the symposium had their average ranks calculated. This provided a final list of attributes, the definitions of which were provided by the groups. The definitions were further refined at a QAA Enhancement Themes conference workshop aimed at the three disciplines.Final year students (n = 104) of the BSc Medical Sciences degree program at the University of St Andrews were asked to complete a questionnaire to evaluate the course as part of the curriculum review process. The part of the questionnaire relevant to this study focussed on how well equipped they felt with the graduate attributes defined previously in the study. For example questions asked whether completion of either the degree program or the final year project module had given them 'an understanding of the evidence base for practice', or 'has made you aware of the need for an inquiring mind' (1 = agree - 5 = disagree).The data was investigated for normality and statistical analysis was carried out using appropriate tests in SPSS v 14.Ethical approval was granted by the Bute Medical School Ethics Committee.Interviews with 24 staff members from Medical, Dental and Veterinary schools yielded 122 graduate attributes, an average of five per interviewee. There were no differences between the three disciplines in terms of the attributes suggested by faculty members. Qualitative analysis (described above) of the interview transcripts resulted in 16 higher level attributes.Discussion at the Research Teaching Linkages symposium breakout sessions resulted in nine attributes being thought to be vital for a professional career and 10 for a research career. Table As can be seen from Table Response rate of the student questionnaire was 100%. Table Degree program average scores for all attributes were significantly higher than 2, which would be a 'neutral' response . The final year project was also thought to equip students well with all attributes, apart from team working where the average score was lower than neutral .It can be seen from Table Interviews with faculty members with responsibility for curriculum design from all three disciplines and ranking by further experts in the area resulted in two lists of attributes, one desirable in a graduate pursuing a professional career, the second in a graduate pursuing a research career. The definitions agreed in the study Table provide Interestingly the top seven attributes in both lists were the same, although not ranked in exactly the same order of preference. This suggests that such graduate attributes are high level skills which would be applicable to both research and professional situations. This finding has implications for curricula design in Medical, Dental and Veterinary degree programs. Curricula in all three disciplines are prescribed by guidelines issued by the governing bodies, the GMC , GDC 5]5] and RCA BSc program in Medical Sciences may not have precisely the same aims as the standard five year MBChB and this is one limitation of this study, as graduates may have a slightly different focus in their careers. The course at the University of St Andrews provides the basis for entrance to the third year of an MBChB course, but also attempts to deliver an understanding of the scientific basis of Medicine and therefore should be equipping its graduates with the research related attributes determined in the previous part of the study. The results show that the final year students considered that the degree program as a whole, did provide them with the opportunity to develop all of the top seven attributes identified in this project as being common to both professional and research careers. The final year project component of the course was viewed as being particularly effective at equipping students with the ability to understand the importance of having an inquiring mind and developing their critical appraisal skills. Similar outcomes for research projects were shown in a qualitative study in science undergraduates and their faculty advisors by Seymour et al . They noOther limitations of this study include the sample of interviewees, which included individuals from all Scottish Medical, Dental and Veterinary schools and a selected sample from English schools. The English schools were selected for participation on the basis of achieving representatives from a wide range of curriculum types although it is not an exhaustive sample. We acknowledge that this may have impacted on the views that were obtained.Data analysis employed both qualitative and quantitative methods. The development of the list of refined attributes from the interview suggestions utilised NVivo software which may have affected coding and clustering of data and therefore the emerging themes. The process was however carried out by two authors (AL and JS) who achieved consensus.This study is timely as the Higher education sector becomes ever more globalised. Many Veterinary schools in the UK comply with European Association of Establishments for Veterinary Education curriculum guidelines . The TunCurriculum designers in Medicine, Dentistry and Veterinary Medicine can utilise the seven graduate attributes identified in this study as a means of ensuring that they produce graduates who are equally well equipped for either a professional or research career. By mapping these core attributes to current learning activities they can ensure that there are opportunities within their curriculum for students to develop and practice these skills. The definitions of these attributes will allow a focus for discussion on the opportunities available within the different curricula.Results of the student study confirmed the belief that involving students in a research project was an excellent way to equip them with many of the identified attributes. Students completing a BSc Medical Sciences reported that the final year project was particularly effective in developing an inquiring mind and the skills of critical appraisal.The authors declare that they have no competing interests.AL was a member of the original project team, carried out interviews, facilitated symposium breakout sessions and drafted this article. SG derived the initial QAA project proposal and recently presented some of the results of the project at the AMEE conference, Prague. JS was project director of the original QAA project, carried out interviews, facilitated symposium breakout sessions and commented on drafts of this article. All authors read and approved the manuscript.The pre-publication history for this paper can be accessed here:"}
+{"text": "An expert working group of the European Association for Palliative Care has revised and updated its guidelines on the use of morphine in the management of cancer pain. The revised recommendations presented here give guidance on the use of morphine and the alternative strong opioid analgesics which have been introduced in many parts of the world in recent years. Practical strategies for dealing with difficult situations are described presenting a consensus view where supporting evidence is lacking. The strength of the evidence on which each recommendation is based is indicated. \u00a9 2001 Cancer Research Campaign"}
+{"text": "To determine diagnostic value of magnetic resonance urography in cases of duplex renal system.Twenty cases between five month to nine years with suspected or known duplex renal system were evaluated by ultrasound (USG), micturating cystourethrography (MCU), intravenous urography (IVU) and magnetic resonance urography (MRU). The findings of these diagnostic imaging studies were then compared with each other and against the results of final diagnosis established at surgery.Duplex renal system could be identified in two of these cases on USG, was diagnosed in four in IVU and could be diagnosed in all cases with MRU.MRU is superior and far accurate than IVU, MCU and USG in diagnosing duplex renal system. Conventional radiological investigations are commonly being used for the diagnosis of duplex renal system. However, each of them has limitations and hence multimodality workup is required in their evaluation.It may be possible to avoid it with its associated cost, if similar information were available from a single imaging modality which will reduce the time and will give better diagnosis using magnetic resonance urography (MRU) for its diagnosis. This article describes our initial experience using MRU for the diagnosis of duplex renal system and comparing its findings with other conventional radiological investigations.et al.[The concept of MRU has been introduced since 1986 by Henning et al. and is bThe purpose of the study was to confirm the efficacy of MRU and comparing its findings with other radiological investigations.This was a prospective study done over a period of one year from 2006 to 2007. At the outset of the study the patients with diagnosed or suspected duplex renal anomalies on routine radiological investigations or those not picked on conventional investigations as intravenous urography (IVU), micturating cystourethrography (MCU), ultrasound (USG) and nuclear scintigraphy and having persitant urogical symptoms underwent MRU using gadolinium contrast after obtaining proper consent for the procedure. IVU, MCU were performed using standard protocols of the procedure and USG was done in all the cases. Nuclear scintigraphy study was done using technetium T99 labeled diethylenetriaminopentaacetic acid (DTPA) and dimercaptosuccinic acid (DMSA) with lasix at 10 min of study.MRU was done using heavily T2-weighted images, contrast enhanced T1-weighted MR sequences and maximum intensity projection (MIP) after proper hydration in 1.5T MR scanner imaging.Very young and uncooperative patients were given oral sedation. These patients were given as per body weight to maintain proper hydration. Intravenous gadolinium contrast was used for the study for image acquisition using abdominal or body coil, with patient in supine position and coil positioned over upper abdomen and centered on kidneys. After initial localizing images were obtained in the following sequences:T2 HASTE single sliceT2 HASTE multislice3D GRE T1TRUFI 2DFL2D 80TSE FS T2Post contrast images in T1 sequences were obtained.Total twenty cases were subjected for MRU after they were either diagnosed to have duplex on conventional radiological investigations or were suspected to be having duplex renal system and routine radiological investigations failed to pick the condition.USG was suspicious in two cases and IVU showed four cases to be having duplex renal system including these two cases. MRU successfully picked up duplex moiety in either of the side in all of these patients. Fourteen were female patients and rests were male. Three patients had bilateral duplex renal system. Ten patients underwent upper pole heminephrectomy for nonfunctioning upper moiety. One patient had both the moieties functioning and hence underwent upper pole ureteric reimplantation for the refluxing moiety. Two patients had pathological single unit on one side and normally functioning duplex unit on the other side and underwent nephrectomty of the pathological single unit of the opposite side. Two patients are under regular follow up and are asymptomatic and on chemoprophylaxis and doing well and two patients did not turn up for further follow up. One patient had unilateral duplex with ureterocele of the upper mioty which was normally functioning and incision of uereterocele was done. We compared the sensitivity and specificity of the IVU and MRU in the diagnosis of the duplex system and compared it with operative findings. MRU showed the sensitivity and specificity of 100% as compared to only forty percent sensitivity of the IVU. But specificity of IVU was 100% here.Duplication is the most common congenital anomaly in the urinary tract, a 0.7% incidence in one series. During iMCU can diagnose associated refluxing unit in cases of duplex moity and ureterocele however as a single investigation cannot diagnose duplex system.IVU which is considered as a standard investigation for morphological assessment of renal parenchyma fails to identify nonfunctioning upper moieties of duplex system.Abnormal alignment of upper pole calices of lower moity because of pressure effect of dysplastic upper moity can be seen on IVU which may give clue to the diagnosis.Renal scintigraphy is necessary to know the differential functional status of the duplex moieties which influences the treatment. It however gives poor anatomical delineation.et al. described the concept of computed tomographic urography (CTU) as a diagnostic method in renal diseases. Multislice computed tomography (CT) with contrast and 3D reconstruction also gives excellent anatomical details but has high radiation exposure and risk of allergy to the contrast.[In 1996, Pearlman We found that, MR urography as a single investigation gives excellent anatomical description of the duplex renal moieties even when they are nonfunctioning. MRU is a noninvasive examination method that does not entail ionizing radiations and does not require iodinated contrast as in IVU or CTU and safer in children. It is excellent in identifying nonfunctioning or poorly functioning duplex system.The heavily weighted T2 images best pick up the dilated non functioning moieties using static fluid as hyperintence images . This teBut there are studies where this is calculated and found to be almost 99% sensitive and more than ninety five percent specific for the diagnosis of the duplex renal system.6We attribute the reasons for failure of IVU to diagnose the duplex system where operative intervention was not required to presence of ectopic moity superimposed on the bony structures and could not be seen in IVU in three cases, borderline functioning in these same cases, poor patient preparation in another two cases and where the pressure from the dilated lower moity was obstructing the drainage as well as compromising the perfusion of the duplex moity and hence was appearing like non functioning moity on IVU. In one case, the anatomical arrangement of the calyses was so close to each other that on IVU they resembled as calyses of the single unit and misinterpreted by the radiologist and only MRU could detect the duplex in this.It is obvious that conventional radiology cannot singly pick up duplex renal anomaly and hence there is no single gold standard conventional investigation for its diagnosis and here the role of MRU appears to be superior to all conventional investigations and also gives better anatomical and functional accuracy in diagnosing duplex system which surpasses its disadvantages of cost, time, and need of sedation for the procedure.591059Moreover, the time of examination for MRU is lesser than for scintigraphy done for quantification of function.In our cases, MRU successfully picked up duplex renal system and in the cases where operative intervention was required, also helped in deciding the plan of management which was not possible by conventional investigations.In our initial experience, MRU may become the single investigative modality compared to other conventional radiological investigations in cases of duplex renal system.\u201314"}
+{"text": "The possibilities of clustering between those electoral wards which display higher than expected incidences of cases of the lymphomas occurring between 1978 and 1982 are examined. Clusters are defined as being those wards with cases in excess (at a probability of less than 10%) which are geographically adjacent to each other. A separate analysis extends the definition of cluster to include high incidence wards that are adjacent or separated by one other ward. The results indicate that many high incidence lymphoma wards do occur close together and when computer simulations are used to compute expected results, many of the observed results are shown to be highly improbable both in the overall number of clustering wards and in the largest number of wards comprising a 'cluster'."}
+{"text": "Sir,The only study to assess prevalence of dementia in elderly in Sri Lanka has reported a prevalence of 3.98% in a semi urban population. There isWe conducted a preliminary study to assess cognitive impairment and depression in a sample of geriatric patients presenting to the University Medical Unit of the National Hospital of Sri Lanka . This prospective study included all patients over 65 years, who were admitted over four weeks. The Mini Mental State Examination and the geriatric depression scale (GDS) were used to screen for cognitive impairment and depression respectively.P>0.05).. The percentages of gender and ethnicity did not differ significantly from the population average (P>0.05).We also assessed the impact of educational level and social support on cognitive impairment with a statistical model. It was hypothesized that better education and family support will protect against cognitive impairment. However (holding age and gender constant), the cognitive impairment did not correlate with either factor, alone or in combination and cognitive impairment (>50%) was very highThe assumption that better education and family support leads to less cognitive impairment could not be validatedThe symptoms of depression may be due to illness itself. Yet it underscores the lack of psychiatric input in medical wards as none of these patients were referred to a psychiatrist. The second observation may be due to:Errors in variables that defined family support (frequency of visits by relations and living with family), which may not indicate coherent family functioningPathology of dementiaDepressive pseudo dementiaSampling errorsThe findings of this preliminary study are significant and indicate theImportance of improving mental health among geriatric patientsNeed for coordinating psychiatric and medical care to reduce disease burdenNeed for routine screening of elderly patients for cognitive impairmentNeed for a large multi center hospital-based study to assess the interaction of socioeconomic factors, depression, dementia and disease burden"}
+{"text": "The evolution and structure of adenomatous polyps and adenocarcinomata of the colon in NMRI mice induced by dimethylhydrazine are described. Severe toxic reactions in the liver and other organs are produced by dimethylhydrazine (DMH), but tumours are induced only in the colon and around the anus. The 100% incidence and growth characteristics of the tumours make it potentially a good model system, but investigators should take into account the widespread nonspecific cellular injury induced by this carcinogen."}
+{"text": "The weights of mouse sarcoma 180 differed according to the varieties of mouse. In two varieties in which both sexes were studied the tumour weights were lower in females. In three varieties the tumours weighed less at lower environmental temperatures than at higher ones. At three environmental temperatures in the physiological range the surfaces were cooler than the adjacent skin, and the tissues of tumours were cooler than the surrounding subcutaneous tissues. These differences were greater in cooler than in warmer environments and increased as tumours grew larger. There were no histological changes to account for the different tumour weights at different environmental temperatures and it seems probable that tumours are unable to maintain their temperature and their metabolism in cool environments. In mice of the same breed kept at room temperature the smallest animals had the largest tumours in a weight range of 18-28 g."}
+{"text": "This study has examined cells from naturally-occurring murine mammary tumours to ascertain whether cell surface glycoproteins play a significant role in colonisation of the lungs after intravenous inoculation. It was found that gel electrophoretic analysis of membrane extracts and lectin adsorption studies did not reveal any consistent differences in glycoprotein composition of cells from tumours which can heavily colonise the lungs relative to ones from tumours which cannot do so or to cells from pulmonary metastases. Also, alteration of structural and functional properties of surface glycoproteins by treatment with succinylated lectins or with drugs such as tunicamycin and swainsonine, which inhibit glycosylation of membrane proteins, had no specific effects on metastatic colonisation of the lungs. Tunicamycin apparently decreased capability to form experimental metastases but also diminished tumourigenicity on subcutaneous inoculation, although it did not affect tumour cell viability in vitro. This information supports earlier studies from this laboratory involving enzymic digestion of the surface of living tumour cells before inoculation and demonstrates that the pulmonary colonisation capability of these mammary tumour cells can withstand global disorganisation of membrane glycoprotein structure and composition. This implies that either the surface glycoproteins are not important in the colonisation process, or that these tumour cells have great capability for rapid repair of their surfaces. It is concluded that a clear answer to whether surface glycoprotein composition has a decisive role in pulmonary colonisation by these mammary tumour cells requires introduction of stable heritable traits into tumour cell populations by genetic manipulation."}
+{"text": "High throughput screening has significantly contributed to advances in drug discovery. The great increase in the number of samples screened has been accompanied by increases in costs and in the data required for the investigated compounds. High throughput profiling addresses the issues of compound selectivity and specificity. It combines conventional screening with data mining technologies to give a full set of data, enabling development candidates to be more fully compared."}
+{"text": "The discovery of effective cancer treatments is a key goal for pharmaceutical companies. However, the current costs of bringing a cancer drug to the market in the USA is now estimated at $1 billion per FDA approved drug, with many months of research at the bench and costly clinical trials. A growing number of papers highlight the use of data mining tools to determine associations between drugs, genes or protein targets, and possible mechanism of actions or therapeutic efficacy which could be harnessed to provide information that can refine or direct new clinical cancer studies and lower costs. This report reviews the paper by R.J. Epstein, which illustrates the potential of text mining using Boolean parameters in cancer drug discovery, and other studies which use alternative data mining approaches to aid cancer research. The discovery of effective treatments for cancer represents a key goal for pharmaceutical companies who wish to identify drugs that can prolong survival time and even reverse cancers, while having an acceptable toxicity profile. However, the average cost of bringing a drug to the commercial market in the USA is now estimated at $1 billion per FDA approved drug, and many factors have compounded the expense of these developments such that cancer drug discovery is now both extremely slow and costly even for a potential blockbuster. Among the many factors contributing to the cost are the high price of clinical trial organisation and the bench research hours required to validate the efficacies and toxicities associated with a drug despite the use of time saving technologies such as high throughput screening to determine efficacies and genomic analyses of drug effects. A growing number of papers highlight the use of data mining tools to determine associations between drugs, genes or protein targets, and possible mechanism of actions or therapeutic efficacy which could be harnessed to provide information that can refine or direct new clinical cancer studies.One common method of data mining is referred to as text mining. Richard EpsteinEpstein also provides examples of how text mining can determine associations between types of cancers and a particular gene for example, AKT.5However, there are a few known limitations to text mining. Associations are based on the use of constant terminology for a drug or gene, whereas this may not be the case for example, where drug names are changed by companies. Also there is restricted access to full text journals and also restriction to abstract publications and some chemical and physical science journals in databases such as pubmed so that data associations need to be retrieved from a more limited source of overall citations. Text mining may therefore be better utilized by combining it with other data mining tools such as microarray database mining. This uses microarray gene data from experiments which have analysed genomes or sets of genes of particular cells or tissues.The power of data mining has now been harnessed by a growing industry specialising in the production of databases which can utilise text or gene or protein data. A selection of databases with direct application to cancer drug or target molecule discovery are presented in The tools that these databases provide for both the drug industry and academia can maximise the mining process compared to manual mining techniques. Whereas data mining has not yet resulted in blockbuster discovery on its own merit, the use of this technology harnessed with the power of dedicated databases and bench top research, has already contributed to deciphering mechanisms of action of genes and drugs and should allow a much more rapid progress toward discovery of effective cancer therapies in the future."}
+{"text": "Objective: The purpose of this study was to evaluate the possible association between Lewis phenotype status in pregnant women and preterm labor (PTL) or preterm rupture of the membranes (PROM).Methods: Red blood cell (RBC) Lewis phenotype was determined in 113 pregnant women admitted for PTL or PROM and in 121 controls. The results were controlled for the influence of race on Lewis phenotype.Results: Pregnancy was associated with a higher frequency in women with the a\u2013b\u2013 phenotype. There was no association between RBC Lewis phenotype and the occurrence of PTL or PROM.Conclusions: A susceptibility to PTL or PROM is not due to a lack of Lewis antigen expression onthe plasma membrane of the vaginal mucosa."}
+{"text": "Two cases are described, one with proven lymphosarcoma and doubtful autoimmune disease, and the second with the reverse situation, in which circulating abnormal mononuclear cells showed PHA responsiveness and an abnormal chromosomal constitution . These findings are discussed in the light of previous cytogenetic studies of lymphoreticular neoplasia and autoimmune disease and the relationship between these two conditions."}
+{"text": "The system could be adapted to the clinical determination of oestrogen receptor content in biopsy material from mammary and endometrial tumours and would be of value in predicting hormone dependency.A thin-layer gel filtration system for the assay of oestrogen receptors in target organ tissue samples as small as 50 mg is presented and compared with the sucrose gradient centrifugation method. Only specific high-affinity binding of ["}
+{"text": "The exact cause of liver failure occurring after long standing biliary obstruction is not known.Impairment of hepatic mitochondrial respiration was postulated in some studies. Sodiumthiosulphate (STS) is known to have a protective effect on liver function during administration ofhepatotoxic chemotherapy. In the present experimental study the effect of treatment with STS inthe presence of obstructive jaundice was studied by determination of the survival rate of ratssubjected to biliary obstruction and by polarographic determination of the hepatic mitochondrialfunction. Treatment with STS was found to result in a significant improvement in rats'survival rate (p < 0.05). Polarography demonstrated significant preservation of mitochondrialrespiratory capacity after treatment with STS. The results of the present study show that thedeterioration in liver function in the presence of biliary obstruction is probably caused byimpairment of mitochondrial respiration. This may be preserved by treatment with STS. Theexact explanation of its effect is not yet clear."}
+{"text": "Sir,One cannot but agree with the pitch for substantial changes in the current pharmacology curriculum. TraditioCurrent medical graduates learn their first lessons in rational and appropriate prescribing in busy out patient departments during their internship. Their knowledge about practical drug dosing and modifications to be made in various clinical scenarios leaves much more to be desired. The new guidelines for teaching pharmacology must be radical in scraping what is useless and in recommending a practical patient-based learning. This will bring the interest of medical students back into pharmacology classes."}
+{"text": "Vaccination against influenza is currently recommended for patients with rheumatoid arthritis (RA). The safety and efficacy of vaccination in patients suffering from rheumatic diseases is still a matter of debate. This review summarizes the studies performed on the safety and immunogenicity of influenza vaccination in patients with RA as well as the rheumatic complications of the vaccine in otherwise healthy persons. Several trials have shown that the vaccine induces an adequate humoral response and does not induce clinical exacerbation of RA. Rheumatic complications (mainly vasculitis) following influenza vaccination in the general population are scarce."}
+{"text": "The activities of certain enzymes in the tissus of mice infected with Friend virus have been studied. Progressive increases in LDH, G6PDH and 6PGDH have been observed in the spleen and liver concomitant with malignant transformation. Plasma LDH activity was also observed to increase over the period of study, but changes in the isoenzyme distribution probably resulted from contamination of the Friend virus preparation with lactic dehydrogenase virus. The tissue enzyme changes are similar to those observed in human malignancies."}
+{"text": "Research on biological data integration has traditionally focused on the development ofsystems for the maintenance and interconnection of databases. In the next few years,public and private biotechnology organisations will expand their actions to promote thecreation of a post-genome semantic web. It has commonly been accepted that artificialintelligence and data mining techniques may support the interpretation of huge amounts ofintegrated data. But at the same time, these research disciplines are contributing to thecreation of content markup languages and sophisticated programs able to exploit theconstraints and preferences of user domains. This paper discusses a number of issues onintelligent systems for the integration of bioinformatic resources."}
+{"text": "Experiments are described in which dose-response data have been obtained for EMT6 mouse tumour cells growing in vivo and exposed to various cytotoxic agents. A comparison has been made of the response of solid tumours in the flank and of rapidly growing lung nodules. The results are discussed with regard to their cell kinetic implications and compared with our results for the chemosensitivity of EMT6 cells in exponential and plateau phase growth in vitro."}
+{"text": "The role of the vagus nerve in liver regeneration after partial hepatectomy was studied by comparing theeffects of hepatic branch vagotomy with those of hepatic branch sympathectomy in rats. The liver weight as a percentage of body weight decreased significantly 7 days after vagotomy compared with the controls and this was associated with a reduction in food intake. There was no difference in the liver weights between the control rats and the pair-fed vagotomized rats. Hepatic sympathectomy had no significant effect on the liver weight. The serum scores indicating hepatic function showed no difference between the control and the vagotomized rats except alkaline phosphatase. The concentration of insulin was unchanged. The number of mitotic hepatocytes remained high at 7 days after vagotomy: Theseobservations led us to conclude that the vagus nerve stimulates liver regeneration, and its effect depends on vagal factors directly and specifically."}
+{"text": "Because two authors were added to the author byline, the funding statement should also include the following: SF was supported by a studentship from the French Ministry of Research. JYG was supported by Programme Amazonie du CNRS and ANR through Projet MIRETTE."}
+{"text": "A survey of all hospital pharmacies in the former North Western Regional Health Authority has revealed that hospital personnel continue to prepare cytotoxic drugs in suboptimal conditions, despite the widespread introduction of pharmacy cytotoxic reconstitution services. Other concerns include the lack of formal training for medical staff in the administration of these agents and the frequent absence of written procedures for dealing with extravasation and chemotherapy errors."}
+{"text": "However the existence of chronic inflammatory conditions that do not have an established infective cause and are associated with the development of tumours strongly suggests that the inflammatory process itself provides the prerequisite environment for the development of malignancy. This environment includes upregulation of mediators of the inflammatory response such as cyclo-oxygenase (COX)-2 leading to the production of inflammatory cytokines and prostaglandins which themselves may suppress cell mediated immune responses and promote angiogenesis. These factors may also impact on cell growth and survival signalling pathways resulting in induction of cell proliferation and inhibition of apoptosis. Furthermore, chronic inflammation may lead to the production of reactive oxygen species and metabolites such as malondialdehyde within the affected cells that may in turn induce DNA damage and mutations and, as a result, be carcinogenic. Here it is proposed that the conditions provided by a chronic inflammatory environment are so essential for the progression of the neoplastic process that therapeutic intervention aimed at inhibiting inflammation, reducing angiogenesis and stimulating cell mediated immune responses may have a major role in reducing the incidence of common cancers. \u00a9 2001 Cancer Research Campaign"}
+{"text": "DNA samples obtained from 29 testicular germ cell tumours have been screened for instability at nine different microsatellite sequences consisting of dinucleotide, trinucleotide and tetranucleotide loci. Overall, in tumours from six (21%) patients we found abnormalities in at least one of the loci examined. Mutation was most frequently found in tetranucleotide and trinucleotide repeats with only a low proportion of alterations in dinucleotide repeats. This pattern of instability is distinct from that reported in colorectal cancer and other cancers that have a high level of alterations in dinucleotide repeats."}
+{"text": "Leucocytes containing a high proportion of blast cells were obtained from 11 patients with acute myeloid leukaemia, and leucocytes were also obtained from 2 normal subjects. Ferritin was partially purified from leucocyte extracts and subjected to anion-exchange chromatography and isoelectric focusing. The Fe content of leucocyte ferritin was low, and in all but one case the preparations contained isoferritins corresponding to those found in normal tissues or serum. Only some of the preparations contained the relatively acidic isoferritins which have been described as \"carcinofoetal\", but which are also present in normal heart and kidney. Ferritin from one patient contained isoferritins of lower isoelectric point than heart ferritin. These results show that there does not appear to be any specific isoelectric focusing pattern for leukaemic cells, and that assays for acidic isoferritins are unlikely to be of use in the diagnosis of leukaemia and in monitoring treatment. However, the very acidic protein found in one preparation suggests that the search for abnormal subunits of ferritin may be fruitful in acute leukaemia."}
+{"text": "The cumulative radiation effect (CRE) is one of several empirical scalar descriptions of biological effect which enable corrections to be made for gaps in radiotherapy treatment. Predictions of this theory were tested using mouse crypt regeneration and mouse skin as biological models. These experimental results are discussed in terms of the dependence of tissue regeneration potential during a gap on the biological effect achieved before the gap, and on gap length. A hypothesis is proposed to reconcile the apparent conflict between the two experiments. While the simple exponential gap formulation of the CRE is seen to be inadequate, insufficient data are available at present to modify it."}
+{"text": "A simple method has been developed which facilitates the detailed cytogenetic analysis of proliferating tumour cells within clusters and colonies arising from clonogenic tumour stem cells in biopsy samples of human cancers. The method uses a simple agar cloning technique for human tumours, which provides marked enhancement in the number of cases with observable mitotic activity and the number of mitotic figures available for detailed karyotypic assessment. The frequency of mitotic figures in cluster and colony samples is much greater than is attainable with standard chromosomal techniques. This novel approach should prove to be a powerful tool for the study of human tumour karyology."}
+{"text": "Three outbreaks of Ebola hemorrhagic fever have recently occurred in Gabon. Virus has been isolated from clinical materials from all three outbreaks, and nucleotide sequence analysis of the glycoprotein gene of the isolates and virus present in clinical samples has been carried out. These data indicate that each of the three outbreaks should be considered an independent emergence of a different Ebola virus of the Zaire subtype. As in earlier Ebola virus outbreaks, no genetic variability was detected between virus samples taken during an individual outbreak."}
+{"text": "Despite several years of implementation, prevention of mother-to-child transmission (PMTCT) programmes in many resource poor settings are failing to reach the majority of HIV positive women. We report on a data driven participatory quality improvement intervention implemented in a high HIV prevalence district in South Africa.A participatory quality improvement intervention was implemented consisting of an initial assessment undertaken by a team of district supervisors, workshops to assess results, identify weaknesses and set improvement targets and continuous monitoring to support changes.The assessment highlighted weaknesses in training and supervision. Routine data revealed poor coverage of all programme indicators except HIV testing. Monthly support to all facilities took place including an orientation to the PMTCT protocol, review of local data and identification of bottlenecks to optimal coverage using a continuous quality improvement approach. One year following the intervention large improvements in programme indicators were observed. Coverage of CD4 testing increased from 40 to 97%, uptake of maternal nevirapine from 57 to 96%, uptake of infant nevirapine from 15 to 68% and six week PCR testing from 24 to 68%.It is estimated that these improvements in coverage could avert 580 new infant infections per year in this district. This relatively simple participatory assessment and intervention process has enabled programme managers to use a data driven approach to improve the coverage of this important programme. UNAIDS estimates that approximately 370 000 children were infected with HIV in 2007. More thProgramme evaluations from a number of countries in Africa have found deficiencies in various components of PMTCT programmes including uptake of antenatal HIV testing,7, receiIntegrating PMTCT programmes into an already overburdened health system has been identified as a common reason for the sub-optimal performance of PMTCT programmes as they scale up to achieve national coverage. There is little documentation of how these challenges have been/are being addressed in routine (programmatic) settings where PMTCT programmes are taken to scale but evidence suggests that 'one size fits all' clinical guidelines are not leading to the desired changes. This paThe package of care for the PMTCT programme at the time of this intervention included routine offer of antenatal voluntary counselling and testing (VCT), infant feeding counselling, single dose nevirapine to mothers and infants, infant PCR testing at six weeks and six months of free formula milk to women choosing not to breastfeed. The PMTSouth Africa has a district health system in which comprehensive primary health care (PHC) clinics provide primary level care, referring patients to district and regional hospitals for secondary level care. PHC services are nurse driven. Clinic nurses are responsible for the diagnosis and management of infectious diseases such as tuberculosis, HIV and sexually transmitted infections, preventive care such as childhood immunisations and growth monitoring, antenatal care, as well as providing an acute curative service and attending to chronic conditions such as hypertension and diabetes.The intervention was carried out in one district in KwaZulu-Natal province, Amajuba. In 2006 the district was estimated to have a total population of 585 858 and a population under one year of 13 259. The antth year[Routine maternal and child health indicators for the district are good with an antenatal care coverage rate of 94%; 92% of deliveries undertaken by trained health professionals (midwives or doctors) and an immunisation coverage rate under one year of 83%. PMTCT wth year. Anthropth year has idenThe intervention consisted of a participatory assessment phase followed by a feedback and planning phase and then an implementation and monitoring phase. Each phase of the intervention had a focus on using routine data for problem identification, target setting and monitoring Table .During the participatory assessment phase a task team consisting of programme managers for HIV, PMTCT, maternal and child health (MCH), unit managers for hospital labour and postnatal wards and PHC clinic supervisors was formed to improve the performance of the PMTCT programme. The purpose of the participatory assessment phase was to build the capacity of local programme managers to conduct a simple assessment of maternal and child health services in their district. The process was introduced at a workshop held with this team in May 2007. During the workshop the team was oriented to the assessment framework, introduced to the assessment tools and supported in a short phase of piloting. An evaluation guide was developed to give step by step instructions about how to plan, prepare for and undertake the assessments.Three data collection tools were developed for the assessments; a structured interview tool for facility managers, an observation tool for PHC clinics and a structured interview tool for lay counsellors. These tools are described in Table Assessment teams consisted of three to four people (district and sub-district co ordinators and PHC supervisors) who visited facilities over a one week period. Each facility visit took approximately 3-4 hours. Assessment of the entire district took 7 days. Routine district PMTCT data from the district information officer was also collected in order to assess performance of key PMTCT indicators.The feedback and planning phase and the intervention and monitoring phase are described in the results section of the paper as these were developed following review of the findings of the participatory assessments.All eighteen comprehensive PHC clinics were visited in the assessment phase. At three facilities the facility manager was not present at the time of the assessment due to meetings or training resulting in a total of 15 facility manager interviews. Sampling of lay counsellors was determined by their availability but at least half of the total number assigned to each facility were included resulting in a total of 35 lay counsellor interviews.Interview and observation tools were submitted at the end of each day to the project facilitator who entered the data into excel. Epi-Info was used to generate basic frequencies for all tracer indicators as shown in Table Clinics had on average 7 full time clinical staff who were mainly nurses; only two clinics had doctors on site. Whilst there are no national norms for doctors in PHC it is expected that 10-15% of patients in clinics will be seen by a doctor and therefore clinics are expected to have a visiting doctor once a week. Coverage of PMTCT training was found to be sub-optimal with less than a third of clinical staff trained in PMTCT and HIV and infant feeding Table . InterviThe median number of clients seen per lay counsellor per day was 9 (range 2-30). This is slightly less than would be expected of a full time counsellor (10-12) but is dependent on the size of the facility and the number of nurses available to perform rapid HIV testing. Less than half of the lay counsellors reported having their own dedicated counselling room and 56% reported having to wait for a room to become available before they could counsel a client. 48% reported that this occurred on a daily basis.Management of drugs and supplies was good with only one clinic found to be out of stock of rapid HIV test kits and one facility did not have nevirapine tablets. Documentation and record keeping was generally found to be good with all clinics having an HIV testing register and a nevirapine drug register which were up to date. All clinics had guidelines for HIV testing, however, a quarter did not have a PMTCT manual on site.Supervision systems however were found to be poor. Forty seven percent of facilities had been visited by the district MCH supervisor in the previous six months and 33% had been visited by the district PMTCT supervisor in the previous six months. Supervision from the PHC clinic supervisors was better with a median of 3 visits per clinic (range 0-7) in the previous six months. These fall far short of the national norm of one visit per month to each facility.All of the clinics visited were open 5 days a week until 4 pm, however, a third of the clinics did not take first antenatal bookings every day of the week. Three clinics did not take blood for CD4 testing on site but referred clients to another facility. The South African PMTCT policy states that a CD4 cell count should be taken on the same day that the HIV positive status is established, and preferably at the first ANC visit therefore all clinics should be drawing blood for the CD4 test. The median turn around time for CD4 results was one week (range 1-5 weeks). This is better than the nationally recommended turn around time of two weeks. All of the clinics except one provided infant PCR testing and the median turn around time for PCR results was 6 weeks (range 1-24 weeks). National PMTCT guidelines state that all facilities should have the capacity to collect dried blood spots for PCR testing of infants. There is no South African norm for turn around time however WHO recommends a turn around time (from collection of sample to return of results) of no more than four weeks.The review of routine PMTCT data for the period January to June 2007 were receiving a PCR test.Assuming 4837 births to HIV positive women per year in the district and 12% A common complaint amongst programme managers is the large amount of data they have to collect and process. The development of a comprehensive health systems framework, key tracer indicators and relatively simple data collection tools in this intervention enabled middle level managers to feasibly collect relevant data rapidly and to identify possible bottle necks to optimal programme performance.The results of the assessment showed that the district is clearly performing well in terms of HIV testing within antenatal care and this has been achieved through adequate human resource provision in terms of lay counsellors and a philosophy of making HIV testing a routine component of antenatal care. Areas of weakness identified include inadequate coverage of training amongst clinical staff, inadequate infrastructure in terms of counselling rooms, infrequent supervision by district supervisors, low coverage of CD4 testing, nevirapine to mother and infant and infant PCR testing. These weaknesses are due to the complex interaction of client and health systems factors. Client factors include lack of information and fear of disclosing HIV status, health systems factors include lack of ownership of the PMTCT programme amongst nurses, unclear roles and responsibilities, lack of knowledge of the protocol, poor recording systems and continuity of care.The process of identifying weak areas and implementation of a participatory approach to problem solving together with regular, data driven, facility level support resulted in large increases in key programme indicators over the period of one year.An intervention in Zimbabwe to improThis intervention used a participatory approach which has both advantages and disadvantages. The disadvantages are that it relies on support and buy in from senior district management to allow mid level managers the time to participate in the workshops and to actually undertake the assessments. Without this support, the participatory approach would not succeed. It is also possible that there is some loss of data quality by utilising health workers to collect assessment data instead of trained research data collectors however the aim of the project was not to be a rigorous research study but rather to develop the skills of mid level managers to conduct assessments of their own programmes and to interpret and act on the findings. The advantages of a participatory approach are that the process of conducting the assessments enables mid level managers to see first hand how well their facilities are functioning and to take ownership of the findings since it is data that they themselves have collected.This operational research study has several limitations which deserve discussion. Firstly the assessment of the intervention relied on routinely collected primary health care data. Routine health system data for PMTCT in South Africa has been found to suffer from problems of completeness and accuracy and thisSecondly the operational research design did not include a control or comparison group hence the findings cannot be causally attributed to the intervention. However, the intervention was adopted and supported by the district management team as something that would be conducted across the entire district and during its implementation there were no other large scale efforts by NGOs or the district health department to address the quality of the PMTCT programme. The changes reported here were observed over a period of approximately 18 months prior to the introduction of the new PMTCT regimen when no media activities or health system changes were occurring. It is therefore plausible that the effects seen are due to this intervention.Improving PMTCT programmes is vital if the worsening under five mortality in high HIV burden countries such as South Africa is to be reversed. This is unlikely to be achieved through resource intensive generic health-system interventions (e.g. training courses and development of protocols and guidelines). The impact of these, in terms of programme functioning and health outcomes, has been disappointing; this has been attributed to their failure to link with specific programme activities. We propThis study was undertaken in one district with a relatively well functioning basic PHC system. The findings therefore cannot be generalised to every district in South Africa. All districts in the country do however have similar district management structures that would be applicable to this form of intervention. The addition of a facilitator for the duration of the intervention does add to the cost however it has been found to be essential at least in the initial stages of the intervention to encourage motivation and focus on the improvement targets. This approach of providing ongoing support through an external facilitator has recently been adopted as part of a national government accelerated plan for PMTCT. Several large NGOs have entered into performance contracts with the government which includes provision of external support for quality improvement.The development of a comprehensive programme evaluation framework, identification of key indicators and relatively simple data collection tools in this intervention enabled district and sub-district level managers to collect relevant data rapidly on the individual effectiveness of each programme component, as well as identifying possible efficiency gains and missed opportunities for improved programme performance. This approach could be scaled up as a model for participatory programme improvement.The authors declare that they have no competing interests.TD, MC and DN participated in the design of the study, conducted training and drafted the manuscript. TD and DN analysed the data. DM participated in the coordination and implementation of the study and helped to draft the manuscript. All authors read and approved the final manuscript.The pre-publication history for this paper can be accessed here:"}
+{"text": "Alterations of microsatellites have been found at relatively high frequency in hereditary and sporadic colorectal cancer and gastric and pancreatic cancers and at lower frequency in some other cancers. We determined the frequency of instability at 39 poly-CA microsatellite loci in 20 squamous cell carcinomas and 26 Barrett's adenocarcinomas of the oesophagus. None of the tumours presented instability for a high percentage of the tested loci. Four squamous cell carcinomas and six Barrett's adenocarcinomas showed microsatellite instability at one locus, and three Barrett's adenocarcinomas showed microsatellite instability at two loci. The presence of few loci showing microsatellite instability could be due to an instability background. We conclude that genetic defects in the DNA mismatch repair system do not play an important role in oesophageal cancers."}
+{"text": "We used a link between cancer and AIDS registries in the United States to study whether nasopharyngeal carcinoma (NPC) was increased in the population with AIDS. There was no indication of a significantly increased risk up to or after the AIDS diagnosis, which argues against progressively failing immunity being important in the development of this malignancy."}
+{"text": "The distribution of iron and iron binding proteins (IBP) have been compared with control spleen tissue in an attempt to establish a pattern of staining restricted to Hodgkin's disease (HD). All but one of the HD spleens examined stained for ferritin, which was largely present in red pulp dendritic macrophages (DM). In spleens histologically involved with HD heavy deposits of ferritin were seen around tumour nodules. Staining for ferritin increased with involvement of the spleen in HD but DM still represented the bulk of positive cells. However, ferritin positive DM were frequently seen in control spleens, and often in large numbers. Staining of ferric iron by Perls technique was less prominent than ferritin but this observation was also true of the non-HD spleens studied. Patterns of staining with transferrin were equivalent in both groups of spleens with DM being the most frequently positive cell type. Polymorphous macrophages showing erythrophagocytosis were present in the red pulp sinuses of all groups of spleens and although these cells have been considered as precursors of the Reed-Sternberg cell their presence seemed related to total splenic ferritin regardless of the disease process. These cells marked as macrophages and their presence was not restricted to HD. The results show that there is no particular appearance of iron or IBP distribution which is restricted to HD spleens. However, staining for ferritin and iron increased in HD spleens with tumour involvement and could contribute to circulatory abnormalities in this disease."}
+{"text": "DNA flow cytometry was performed on formalin fixed, paraffin embedded melanocytic naevi. DNA aneuploidy was detected in all three types of naevus but was significantly more frequent in those naevi accepted as precursors of malignancy: that is, dysplastic and congenital pigmented hairy naevi. It may be that the presence of DNA aneuploidy has prognostic significance in these naevi. Technical problems were encountered in the analysis of data from melanocytic lesions so that caution is recommended in interpretation of studies using formalin fixed tissue."}
+{"text": "Despite the 1991 reforms of the health system in Zambia, mental health is still given low priority. This is evident from the fragmented manner in which mental health services are provided in the country and the limited budget allocations, with mental health services receiving 0.4% of the total health budget. Most of the mental health services provided are curative in nature and based in tertiary health institutions. At primary health care level, there is either absence of, or fragmented health services.The aim of this paper was to explore health providers' views about mental health integration into primary health care.A mixed methods, structured survey was conducted of 111 health service providers in primary health care centres, drawn from one urban setting (Lusaka) and one rural setting (Mumbwa).There is strong support for integrating mental health into primary health care from care providers, as a way of facilitating early detection and intervention for mental health problems. Participants believed that this would contribute to the reduction of stigma and the promotion of human rights for people with mental health problems. However, health providers felt they require basic training in order to enhance their knowledge and skills in providing health care to people with mental health problems.It is recommended that health care providers should be provided with basic training in mental health in order to enhance their knowledge and skills to enable them provide mental health care to patients seeking help at primary health care level.Integrating mental health services into primary health care is critical to improving and promoting the mental health of the population in Zambia. Over the last decade, Zambia has embarked on a radical transformation process aimed at creating a well functioning, cost effective and equitable district-based health care system . Such reMental health was not amongst the ten priority areas for health services in the BHCP. In fact, none of Zambia's strategic health plans and policy documents have addressed and incorporated mental health . AlthougMental health services appear to have been inadequately incorporated into the primary health care in Zambia, a problem shared with many other low-income African countries -9. AlthoThere has been widespread recognition of the benefits of and need for low and middle income countries to better integrate mental health within primary health care ,14. InteThere is a dearth of research on mental health generally in Zambia ,13,5 witA survey was devised and conducted in order assess the knowledge, attitudes and practices (KAP) regarding mental health of general and mental health care providers' in Zambia. The main objective behind this survey was to guide and inform the training that would be carried out amongst general and mental health care practitioners to better identify and manage common mental illness.Data collection took the form of a questionnaire with both open and closed ended questions. The questionnaires were administered to selected health care providers who worked in Out-Patients departments. Seventy six questions were asked covering three topics namely: Knowledge, Attitudes and Practices. Knowledge and Practice included the following sub-headings; knowledge about causes of mental illness, knowledge about mental disorders and ability to treat, prescribe, and administer drugs while Attitudes involved; stereotypes, separatist and discriminatory attitudes, restrictiveness. The questions on which this paper is based formed part of the 'attitudes' component of the survey instrument which included questions on attitudes towards training, and attitudes towards integration. The guiding questions are shown in table 1The questionnaire was piloted on fifteen health workers in Kafue District that was not part of the survey sites. Based on the findings from this pilot, the questionnaire was adapted and revised.The data were collected from two purposively selected sites: Lusaka, representing an urban setting, and Mumbwa, representing a rural setting. These sites were selected as Ministry of Health pilot districts for integration of mental health into primary health care as well as for the purpose of representation of rural and urban scenarios. A total of 111 participants drawn from health facilities in the mentioned areas took part in the survey. Purposive sampling technique was used to select participants. Health workers from Out-Patients departments were selected because they see all incoming patients and refer them to respective departments depending on the patient's condition.Participants were recruited from more than half the number of health centres in Lusaka. In Mumbwa they were recruited from health centres that were accessible. However, the health centres and clinics that participated were typical of all clinics in the sense that they are government financed and supervised health centres, and being served through the same basic health care package. The clinics also recruit categories of staff with similar levels of qualifications and training. In addition, almost all the health centres in Lusaka are placed in low density areas catering for similar characteristics of the population. The same applies to the rural health centres. Therefore the sample was representative of the districts from which participants were drawn. The data were collected between March and April 2009.The quantitative data were entered into the excel data entry programme where numeric data were aggregated. Descriptive statistical analyses of relevant items were conducted.The qualitative data were analysed using thematic analysis informed by Braun and Clarke in orderPermission to conduct this study was obtained from the Ministry of Health Directory of public health and research, and the District Directors of Health for the respective districts. Detailed information was provided to participants concerning participation and the consequence of the study. Participation was voluntary, and informed consent was obtained. For the purpose of anonymity, participants' names were omitted from the questionnaire.One hundred and one participants were took part in the survey. The age ranged between 19 and 65 years with the majority (41.4%) of them aged between 35 and 45 years. All participants were health care providers working in out-patients departments. Their work experience ranged from the newly graduated to those almost reached their retirement.Table The results revealed a high degree of favorable attitudes towards the proposed integration of mental health into primary health care. As indicated in table The reasons different respondents gave for why mental health should be integrated into primary health care can be categorized into three main themes: Better detection and management of mental health problems; stigma reduction; and human rights.\"early intervention\", \"early detection\" and that \"Early diagnosis of mental illness patients will be facilitated\" .A key theme advanced by most of the participants that supported integration was that integration of mental health services into primary health care will facilitate early detection of mental health problems and prevent complications. Many respondents indicated that integration would aid It was indicated further by many health care providers that many people avoid or delay seeking care and treatment at Chainama, the main mental hospital, as the institution is a major source of stigma. It was indicated that people with mental disorders would be more willing to access care and treatment at primary health care clinics, which do not have the same negative connotations attached:'Mental illness will not be let to reach advanced stage since early detection and treatment will be effected by both health facility and community, since some family members fear/avoid being associated with Chainama Hospital and end up delaying seeking attention' .Similarly, another health care provider indicated:'People usually have a negative perception about Chainama and mostly people don't even go there if they are referred from health centres so by bringing this service nearer to their community and also being treated in the same facility just like any other patient, then people can be willing to get treatment from the centres without being stigmatized and discriminated against. Other problem can be identified apart from mental illness'.As alluded to in this last remark, integration of mental health with primary health care would also improve the general health care of persons with mental disorders.Many participants also indicated that integration would facilitate the detection and management of mental disorders as mental health care would be brought closer to the communities. Numerous health care providers highlighted that many people have to travel long distances, and incur great costs to seek care at Chainama mental hospital. This was particularly emphasized by health care providers in rural areas. It was argued that mental health care would be more accessible and available if it was integrated into primary health care:'It will enable the mentally ill to receive care within easy reach in our community and lessen the cost of transport to other institutions like Chainama'.In addition, it was indicated that mental health workers are in short supply in comparison with other types of health workers. It was thus suggested that integration would mean that there would be many more staff available for the management and treatment of mental disorders, as general health care workers would be able to attend to patients. This was most aptly revealed by the following two statements:'All health care providers would receive training and will be ready to handle mental illness cases in the community and at health centre level, so there would be many more staff available' and'Patients will be receiving professional case management from all health workers'.The rationale behind this was summarised by one participant as follows:'Primary health care system is the only health framework can bring health as close as possible to the communities'.less congestion at Chainama Hospital\" as \"'People with simple mental illness could be handled within the clinic instead of sending them to Chainama'.There was also widespread agreement that integration would aid better detection and management of mental health problems because less people would go to Chainama mental hospital, and Chainama would be less congested and overcrowded. This would ensure that those patients who are admitted to the main mental hospital, would receive better and more comprehensive care. Many respondents indicated that integration will create \"once integrated they come out of stigma\" and integration would \"lessen stigma\") and \"reduce negative attitudes\". It was suggested that stigma would be reduced because people would start to \"regard mental illness as a disease like any other because they would be treated in the same facility just like any other patient\". Furthermore, one respondent indicated:The issue of stigma and discrimination appeared to be prominent in many participants' responses around integration of mental health into primary health care. Numerous respondents who supported integration stated that stigma would be reduced if people with mental health problems were treated at primary health care units. It was not uncommon to hear statements such as \"'The community attitude will gradually change as they see mental patients are cared for and recover, rather than being locked away'.Many respondents shared this view that stigma would be reduced as many people would be able to receive care within their communities, rather than being institutionalized far away in Chainama.Numerous participants stated that the government has made a clear commitment to providing health care to the population at the primary health care level. Some respondents said that over and above the benefits of integration, people with mental health problems possess an intrinsic right to treatment at this level of care, just like any other person seeking help for a health problem. They thought that integration of mental health at primary health care level would serve to uphold the human rights that people with mental health problems are thus equally entitled to. As one respondent indicated when stating that he supported integration:'Because mentally ill patients like any other patients deserve treatment and care from the primary health care system, in health centres'.This view was shared by another health care worker who stipulated:'The patients are all important and need equal rights and attention as early as primary care level'.\"right to receive care at the primary level\", and the \"right to care without segregation\".Indeed, many respondents spoke about how people with mental disorders have the Although respondents who were against integration were not asked directly why they held such attitudes, some of the reasons could be hypothesized based on respondents responses to other questions such as the one asking about the importance participants attached to integrating mental health into primary health care. As such, it seems that fear and negative attitudes towards people with mental disorders may underlie some health care providers reservations regarding integration. Table It thus seems that such attitudes may be informing certain reservations around potential integration between mental health and primary health care.There was widespread agreement amongst respondents that better integration of mental health into primary health care required increased training in the identification and management of mental disorders. Responses are shown in Table It was indicated that a lot of mental health problems currently go undiagnosed at the primary health care level because of inadequate knowledge and skills to identify and treat mental health problems. As one respondent indicated:'Most cases go unidentified and undiagnosed, so training in mental health at the primary level is long overdue'.It was indicated that training would equip general health care workers with necessary skills to manage cases of mental illness appropriately. The rural population indicated that training in mental health would also prevent them from referring uncomplicated cases to Chainama hospital. As the following remark indicates:'Training will equip us to manage mental illness cases at clinic level and give adequate support'.This study explored integration of mental health into primary health care from the perspective of health care providers in two districts in Zambia. It documents their attitudes towards integrating mental health into primary health care, as well as some of the possible reasons for such attitudes. It also highlights health care providers' recommendations regarding integration. One of the key barriers around integrating mental health into primary health care that has been identified is that the views and concerns of health care providers around integration have not been fully taken into account . This stThe results revealed a general willingness amongst health workers to have mental health added to their list of care responsibilities, and integrated with primary health care. A multitude of reasons were highlighted as to why integration would be beneficial. These included improving the detection and management of mental health problems as people would be more willing to access care, care would be brought closer to the communities, there would be more human resources and Chainama would be less congested. Furthermore, it was indicated that integration would help reduce the stigma surrounding mental illness, as people would receive care in the same facilities as other patients, rather than being institutionalized. Finally, some respondents indicated that integration was a human right for people with mental disorders.Integrating mental health into primary health care has been shown to improve the diagnosis of mental disorders and uptake of treatment, as health care at the primary level is generally more accessible, available and less stigmatizing . FurtherHowever, while most respondents favoured integration, most also said that people with mental health problems should not be treated in the same health centre as general patients. Although it was not explored fully, it seems that resistance to integration may stem from the fear and negative attitudes some health care providers may have towards mentally ill persons. Indeed, fear and stigma, which are common amongst general health care providers -25, haveThe World Health Organisation has been encouraging nations to have a deliberate policy to integrate mental health into primary health care since the Alma Ata International Conference on Primary Health Care in 1978. Despite the numerous health sector reforms that have taken place in Zambia that have been situated within a primary health care philosophy, mental health has been largely overlooked in these reforms. Indeed, the Zambian health service's priority is placed on communicable diseases, at the expense of non-communicable diseases. Jenkins and Stratdee emphasizIt is with the above background in mind that the present study suggests restructuring of mental health services through its integration into primary health care and involvement of the community in the management of mental health problems and promotion of mental health . ResearcBearing in mind the commitment by government contained in the Zambian mental health policy that menThe recommendations of this study are consistent with Orley and Sartorius' suggestiIn this way, the health system would be upholding the holistic concept and person centred approach to care that WHO has recommended in its mental health programmes. Given the current inadequacy in human resource in Zambia in general and at primary health care level in particular, it is appropriate to build capacity so that people with mental health problems can be seen and cared for by health care providers who are not specialised in mental health but have basic knowledge and skills.It is thus clear that in principle, primary health care workers in Zambia appear to support integration of mental health into primary health care, but many still have stigmatising attitudes towards the mentally ill. Consequently, further work is needed, not only in the provision of clinical skills, but also in providing education to change attitudes and beliefs. Integrating mental health into primary health care is however ultimately going to require increased consensus, commitment and political will within government to place mental health on the national agenda and secure funding for the sector. This is essential if the country is to realize the many of the ideals enshrined in the progressive health reforms undertaken over the last decade. As indicated by the World Health Organization, ultimately, there is \"no health without mental health\" .The authors declare that they have no competing interests.AF and CL conceived of the study, and participated in its design and coordination and helped to draft the manuscript. LW and SC drafted the manuscript. AS, AK and AS were involved in revising the manuscript critically for important intellectual content. All authors read and approved the final manuscript."}
+{"text": "We were very interested to read the article by The potential carcinogenic risk of nano-materials that are structurally similar to asbestos and have been used in many industrial fields in the last few years has been highlighted by In addition to mesothelioma or lung cancer, asbestos can cause other types of cancer. On the basis of our clinical experience, we hypothesize that at least a portion of bile ducts cancers are caused by exposure to this known carcinogenic agent.From 2002 to 2008 we treated 258 patients with cholangiocarcinoma at our institute. Over the previous year, we carefully interviewed 66 consecutive patients using a standardized questionnaire asking about their exposure to asbestos and other known risk factors linked to bile duct carcino genesis . We collAsbestos fibers cause cancer through chronic inflammation, amplifying the production of oxygen radicals, cytokines, growth factors, and proinflammatory factors responsible for both impaired antioxidant and control cell proliferation and apoptosis mechanisms in target cells . In contThe putative increased risk of bile duct cancer in subjects exposed to asbestos may be due to different mechanisms. The asbestos fibers cross the alveolar barrier by inhalation or penetrate the gastrointestinal mucosa by ingestion. They then reach the interstitial environment and circulatory system through lymphatic vessels and are finally delivered to all tissues, namely the liver and bile ducts , where tIn the near future we may have to consider asbestos as another factor accounting for the etiopathogenesis of cholangiocarcinomas that may explain the otherwise mysterious increasing incidence of intrahepatic cholangio carcinomas in Western countries."}
+{"text": "Constuction of the obturator prostheses and providing the patient's comfort with them are very difficult. Primary and the most important stage for these prostheses is to perform a proper impression.A 55-year-old edentulous Turkish female patient with a congenitally maxillary defect was rehabilitated with an open hollow obturator prosthesis. After the preliminary impression was completed, a metal frame suitable with the maxillary defect was constructed manually and used for making the impression of the defect area. After the first part of the obturator was finished, second part which separates nasal cavity and oral cavity was constructed by the aid of the bulb.When constructing an obturator prosthesis, making a detailed impression from the defect area can be performed by the aid of a metal frame, and an intraorally shaped extension that separates oral cavity from nasal cavity might be more effective for adaptation of the prosthesis. Maxillary defects can be sourced by congenital malformations or the acquired defects resulting from surgeries . The maxThis clinical report describes the prosthetic rehabilitation of an edentulous patient with congenital maxillary defect with an obturator made by a modified technique to restore the defect and separate the oral and nasal cavities from each other.A 55-year-old edentulous Turkish female patient was referred to the Department of Prosthetic Dentistry in Karadeniz Technical University for examination and treatment. The patient had a history of congenital palatal defect with an opening between oral and nasal cavities. Detailed case history revealed that the oronasal opening was present since year of birth and the defect was not treated surgically. The patient's major complaint was being edentulous after looosing her natural teeth because of periodontal diseases. She had never had obturator prosthesis until she lost her last teeth. Construction of obturator prosthesis was decided for the rehabilitation of the patient after clinical examination.Local anesthetic spray was used for the palatal and post palatal region before making the impression. A tampon covered with Vaseline and anesthetic solution was placed in the defect cavity to protect the area from the residual impression material Figure It was tThe prosthetic rehabilitation of an edentulous patient with congenital maxillary defect with an obturator has some difficulties at the stages of impression and construction. Even the defect area is filled with a tampon before the impression, protecting the soft tissues from the residual impression materials and making a detailed impression is not easy. In this respect, recording the tissue borders with modeling wax around a metal frame intraorally may be more protective and still an effective method. Separating nasal and oral cavities from each other helps to form speech voices better and to protect nasal cavity from the food escape during chewing, and swallowing. Constructing a second part which extends to the palatal defect cavity on previously constructed bulb using an intraorally shaped modeling wax, helps the second part to cover the defect area without any damage to the soft tissues even during the functional movements. Fabricating method of this open hollow obturator provides better initial record base retention, which is also compatible with the oral tissues. And the design of this obturator prosthesis has also some advantages as: better phonation and protection of food escape to nasal cavity.Fabricating a successful obturator prosthesis used for the prosthetic rehabilitation of congenital or acquired defects in maxilla depends on making a detailed impression and constructing the prosthetic parts compatible with the oral tissues. This clinical report describes an intraoral technique for impression making and fabrication of open hollow obturator prosthesis.The authors declare that they have no competing interests.BB performed for the case and prepared the manuscript. EA helped at the some steps of constructing the prosthesis and to draft the manuscript. UH supervised the case and reviewed the manuscript. All authors read and approved the final manuscript.Written informed consent was obtained from the patient for publication of this case report and accompanying images. A copy of the written consent is available for review by the Editor-in-Chief of this journal."}
+{"text": "The report contrasts the ascertainment of cases by the regional cancer registry with a specially designed search for records and pathology material which was then submitted to critical review irrespective of the original diagnosis. Boundary changes over the intervening years were accounted for and the results contrasted between time periods and with the cancer registry records. A large proportion of cancer registry cases were never subjected to histopathological diagnosis and comparisons between the new data and records are not easy to undertake. The study describes a probable true rise in the incidence of follicular non-Hodgkin's lymphoma in certain parts of Yorkshire over the last 20 years; there is less evidence of a similar change in Hodgkin's disease incidence over the same period of time."}
+{"text": "The recognition of genital chlamydial infection as an important public health problem was made first by the recognition of its role in acute clinical syndromes, as well as in serious reproductive and ocular complications, and secondly by our awareness of its prevalence when diagnostic tests became widely accessible. The recent availability of effective single dose oral antimicrobial therapy and sensitive molecular amplification tests that allow the use of noninvasive specimens for diagnosis and screening is expected to have a major impact in reducing the prevalence of disease in the next decade. Clinical manifestations associated with Chlamydia pneumoniae infection continue to emerge beyond respiratory illness. In particular, its association with atherosclerosis deserves further investigation. Chlamydia pecorum, a pathogen of ruminants, was recently recognized as a new species. The continued application of molecular techniques will likely elucidate an expanding role for chlamydiae in human and animal diseases, delineate the phylogenetic relationships among chlamydial species and within the eubacteria domain, and provide tools for detection and control of chlamydial infections."}
+{"text": "The inability to assess the extent of tumour damage immediately following treatment is a major clinical obstacle to improving the management of cancer patients. Normally, the effectiveness of chemotherapy or radiation therapy cannot be determined for at least several weeks after treatment. We studied the increase in mRNA of the growth arrest and DNA damage-inducible gene GADD153 in human 2008 ovarian carcinoma cells in vitro and in vivo to determine whether treatment-induced increases in the level of GADD153 mRNA could be used as a marker of the extent of tumour damage. GADD153 mRNA was increased in a transient, dose-dependent manner by cisplatin (DDP) when the tumour cells were grown both in vitro and as tumour xenografts in nude mice. The magnitude of induction of GADD153 mRNA did not vary significantly between different 2008 xenografts treated with equal doses of DDP, and GADD153 mRNA induction correlated with the degree of in vitro cytotoxicity for two different schedules of drug exposure. DDP increased GADD153 mRNA levels in melanoma and head and neck xenograft models as well. We conclude that the increase in GADD153 mRNA can be used to detect tumour injury at time points as short as 24 h after administration of DDP."}
+{"text": "This issue of the MEAJO journal mainly containing original and educational articles on uveitis is compiled from the uveitis course and symposium organised during the last MEACO meeting in Bahrain in March 2009 by the Society for Ophthalmo-Immunoinfectiology in Europe (SOIE). Although the course was held on the last day of the meeting and consisted of a full day course, sustained attendance indicated that considerable interest exists in the Middle-East for uveitis. Together with Ahmed Abu El Asrar, the local organiser of the SOIE course and Deepak P. Edward, the Chief-Editor of MEAJO, we decided to publish a theme based issue on uveitis.SOIE is an association oriented towards educational activities in the field of uveitis in Europe but is also organising activities beyond Europe, especially in the Middle East and North Africa. The society has organized educational courses in Saudi Arabia in 2005 and 2008 and in Bahrain in 2009. SOIE symposia were held in Krakau, Poland in 2007, in Ancona, Italy in 2008, in Cappadoccia, Turkey in 2008 as well as in Tunisia in November 2009, with significant attendance at each venue. Our group is willing to collaborate with any local partner to organise courses or symposia on uveitis. We are interested in working interactively and exchange information with the local organisers and ophthalmologists and provide educational content on the practical aspects of uveitis taking into account local specificities. We are open to all viable propositions to promote the recognition and management of uveitis and ophthalmic infectious disease.For this MEAJO issue, the instructors of the SOIE Bahrain course were asked to contribute articles either on original ongoing uveitis research or to summarize their course presentations for didactic and educational purposes in a manuscript. A significant number of instructors made contributions so that an attractive theme oriented issue on uveitis could be produced.In his tutorial article on the differential diagnosis of anterior uveitis Carl P. Herbort gives a practical method for the appraisal and work-up of anterior uveitis based on clinical examination. He emphasizes the simplicity of the diagnostic steps of uveitis cases as long as investigations are based on clinical signs and not on random endless lists that are published in uveitis textbooks.The article on angiography in uveitis puts forward a comprehensive approach of angiographic investigation indicating the need for dual fluorescein and indocyanine green angiography (ICGA) in most cases where performing angiography is deemed necessary. By demonstrating lesions not shown by any other means, ICGA shows its pre-eminence over fluorescein angiography that merely gives more precision on superficial fundus lesions and RPE changes usually already identified by fundus observation, optical coherence tomography or other means.The two articles by Professor Ahmed Abu El Asrar and his group from Riyadh touch upon two important topics in uveitis. The first article has the merit to reassess the role of tuberculosis in present day uveitis. The second article is gives an excellent summary on the difficult clinical question of retinal vasculitis. The article includes a practical approach to the diagnosis of retinal vasculitis and provides precious information for the clinician.Who better than Professor Ilknur Tugal-Tutkun from Istanbul University could write a review article on Beh\u00e7et's uveitis? This reknowned specialist who is recognized globally for her expertise in ocular Beh\u00e7et's disease has put all her experience and expertise to give an overview on what the clinician should know about Beh\u00e7et's uveitis. In this article the author also presents the latest developments in the management of Beh\u00e7et's uveitis including laser flare photometry which has become an essential tool for non invasive follow-up of intraocular inflammation in most uveitis entities.We have the opportunity to publish a very important and interesting review article on emergent causes of infectious uveitis; thanks to Professor Khairallah from Monastir University in Tunisia who has been at the origin of several reports on emerging agents causing uveitis. He certainly is the most appropriate person to write this report on rare and unknown etiologies of uveitis which should nevertheless be known by all practicing ophthalmologists in this era of increased travel and migration.The last review article relates to inflammatory choroidal neovascularization, a complication of uveitis which is of rare occurence but that however has devastating consequences on visual function. Piergiorgio Neri, being both a specialist in medical retina as well as in uveitis, the review he and his team are presenting here is based on a very longstanding experience in the management of this feared complication of uveitis. So far treatment has been unsatisfactory but the availability of intra-vitreal anti-VEGF therapies seems to have drastically changed the outcome of inflammatory CNV although this statement still relies on an accumulation of cases as the authors indicate. In such rare diseases however, where controlled studies are impossible, medical treatment should be based on common sense which in this case points to the use of anti-VEGF treatment.The theme based part of this issue is completed by an original article on Fuch's uveitis, the publication of which is especially appropriate in the MEAJO journal, as the readership mainly comes from areas where irises are predominantly brown. This article indicates that heterochromia should not be considered as a preponderant feature. Indeed in brown iris geographical areas heterochromia will rarely be seen and iris texture changes should be evaluated instead. The authors therefore recommend abandoning the term Fuch's heterochromic cyclitis and to resort to the simple eponym of Fuchs' uveitis. The main message of this article however is the importance and relevance of posterior segment involvement that has been scotomized in the last decades although it was clearly described in Ernst Fuchs' initial reports. The failure to associate posterior signs such as vitritis with Fuchs' uveitis was identified as the single most important reason for misdiagnosis or delay in the diagnosis of Fuchs' uveitis.It is always a great pleasure for the SOIE to collaborate with our colleagues from the Middle-East where several successful projects have been conducted so far. We hope that the present project resulting in this theme based issue will be appreciated and are looking forward to future collaborations and projects."}
+{"text": "The following information was omitted from the funding statement: This study was supported by NIH grants NS39089 and NS35962 to NS and MSMT CR grants LC06044 and 002162080 to JP and DV."}
+{"text": "The intensifying pressure on reducing the development time for new pharmaceutical products is resulting in an increasing need for laboratory automation. A key element for the successful implementationof robotics for drug product analysis is the establishment of a reliable process for interaction of the automation team with its various customers, for example development product team and manufacturing group. The reduction of cycle time for product development appears to be resulting in more stability studies to support NDA/MAA filings for several reasons. Key clinical information may not be available before initiation of the stability studies and simultaneous world-wide development may result in an increase in the number of product strength and pack options."}
+{"text": "Percutaneous Transvenous Mitral Annuloplasty for mitral regurgitation is in early stages of development and involves a complex intervention which can not be done in patients with left ventricular leads. Since functional mitral regurgitation is common in low ejection fraction states, we propose a device which can serve for annuloplasty in addition to cardiac resynchronization therapy and simplifying the intervention. Treatment of dilated cardiomyopathy has evolved considerably over years leading to marked improvement in quality of life and survival. This has been possible by intervening at the various biochemical, hemodynamic and electrical abnormalities by drugs and use of various devices. The role of cardiac resynchronization therapy (CRT) is an established one resulting in improvement in quality of life and survival and lately studies have shown its benefit even in patients with moderate fall in ejection fraction.One important accompaniment of dilated heart is functional mitral regurgitation secondary to mitral annular dilatation, apical displacement of papillary muscles and reduced transmitral closure force secondary to LV systolic dysfunction.Cardiac resynchronization therapy helps by synchronizing the contractions of the postero-lateral wall and the interventricular septum and thereby improving the ejection fraction and by decreasing the functional mitral regurgitation by its presumed effect of synchronizing the motion of two papillary muscles and increasing transmitral closure force.Percutaneous transvenous mitral annuloplasty (PTMA) for ischemic or functional mitral regurgitation is in its evolution. The procedure involves cannulation of coronary sinus via subclavian or internal jugular vein and delivering a hemispherical structure from coronary sinus ostium posteriorly to the anerior interventricular branch of the great cardiac vein anteriorly. As the coronary sinus forms the lateral half of the mitral annulus, the device alters the geometry of the mitral annulus thereby causing better apposition of two valve cusps and decreasing mitral regurgitation. Three such devices under investigation include Viacor PTMA device, CARILLON contour system and MONARC (previously VIKING) PTMA system all utilizing the various modifications of the same principle. These PTMA devices cannot be placed in patients who have coronary sinus leads of CRT devices. Since low ejection fraction states are usually associated with functional mitral regurgitation hence to produce a device which can address both issues seems compelling.Although the left ventricular leads of CRT devices are soft and may not significantly bring about conformational changes in the mitral annulus, part of reduction of mitral regurgitation can be expected by left ventricular lead especially once the lead is distally nicely fixed and under some tension. However left ventricular lead is placed in the lateral most vein which may include only one fourth of the mitral annulus. If left ventricular lead is modified in such a way that it is rendered stiff in its distal part and part of the stiff end projects anteriorly upto anterior interventricular groove it can serve as well for annuloplasty in addition to CRT. Otherwise a stiff annuloplasty hemisphere can be delivered over the left ventricular lead hence simplifying the procedure and simultaneously addressing both issues."}
+{"text": "Sir,We thank Dr Chaouachi for his interest in our study. Dr Chaouachi suggests that the association of hookah and oesophageal cancer observed in our study ("}
+{"text": "Growth curve measurements on the EMT6 tumour following treatment with cyclophosphamide indicate a growth delay of about 3 days for each 100 mg/kg of the drug. Tumours treated whilst still microscopic show a rather longer delay for the same dose. Data for the surviving fraction of cells in the tumours measured by in vitro plating at 2 h after cyclophosphamide are not compatible with the measured growth delay and realistic values for the doubling times of surviving clonogenic cells; It is concluded that there is considerable \"repair of potentially lethal damage\", and that there is probably no single time after cyclophosphamide treatment at which the surviving fraction of cells can be correctly measured by the in vitro plating technique. Cell loss from cyclophosphamide-treated tumours is increased only slightly over that from untreated tumours, and the regeneration of surviving cells is very rapid. In this situation, only marginal regressions in tumour volume are caused by the highest doses of the drug."}
+{"text": "The recurrent synaptic activity may arise in a negative feedback loop between a bipolar cell and an amacrine cell that exhibits resonant behavior and oscillations in membrane potential when the normal balance between excitation and inhibition is disrupted by the absence of photoreceptor input.Here we review evidence that loss of photoreceptors due to degenerative retinal disease causes an increase in the rate of spontaneous ganglion spike discharge. Information about persistent spike activity is important since it is expected to add noise to the communication between the eye and the brain and thus impact the design and effective use of retinal prosthetics for restoring visual function in patients blinded by disease. Patch-clamp recordings from identified types of ON and OFF retinal ganglion cells in the adult (36\u2013210 d old) Retinitis pigmentosa (RP) refers to a number of related diseases that result in the death of rod and cone photoreceptors causing blindness in about one in 3,500 people, nearly 2 million people worldwide. Not surprisingly, PubMed lists more than 7,000 papers on RP that provide an abundant source of information about the genetic, biochemical, physiological, and therapeutic characteristics of the disease. The goal of much recent work on RP has been to develop methods to restore vision by resuscitating the retina using gene therapy to repair the mutation that gives rise to the dystrophy or by drrd1 mice that was not present in normal animals. The patterned spike activity was reversibly abolished by temporarily occluding blood flow to the eye, providing evidence of its retinal origin. The frequency of the persistent discharge was dependent on the anesthetic and ranged between 9\u201314\u2009Hz. These findings were confirmed subsequently using autocorrelgrams to demonstrate the rhythmicity of maintained spike activity in units recorded from the SC in dystrophic but not nondystrophic Royal College of Surgeons (RCS) rats [c-fos-like immunoreactivity in the superior colliculus and lateral geniculate nucleus in rd1 mice and RCS rats that is eliminated by intraocular injection of TTX or optic nerve transection [c-fos expression was attributed to the generation of rhythmic input from retinal ganglion cells. Out of the several thousand publications on RP, less than a dozen have addressed questions about the effects of retinal degeneration on RGC firing properties. The responses of individual cells cannot be evaluated using the electroretinogram (ERG), which is the widely employed standard method for assessing the functional changes in the retina resulting from loss of photoreceptor input. An early study by Drager and Hubel based onCS) rats . There ansection , 19. Therd1 mouse [The changes in RGC spike activity during the progression of photoreceptor degeneration has been documented more directly using extracellular single RGC recording in the RCS rat as well d1 mouse and the d1 mouse . In agred1 mouse , 21 in ad1 mouse . Taken tIt is important to understand the properties of the ongoing spike activity that is present in RP because it represents an undesirable noise source that degrades the communication between the eye and the brain that the aforementioned strategies to restore vision in patients blinded by degenerative disease depend upon. Here we review experiments designed to investigate the cellular mechanisms responsible for the increase in maintained spike activity and explore the retinal circuitry that may give rise to it.rd1 retina [\u03bcm)\u2014which, by virtue of their large size, are referred to here as alpha cells [To determine whether RGC hyperactivity was caused by changes in the intrinsic properties of RGCs, such as ion channel function or distribution, or by altered synaptic input, intracellular recording was used to study the effect of photoreceptor loss on the electrophysiological properties of selected types of ganglion cells in 1 retina . RGCs wiha cells \u2014were tarha cells were useha cells . The useha cells , 26.rd1 alpha RGS retained the characteristic differences in the weights of excitatory and inhibitory synaptic inputs that ON and OFF cell types receive. They also continued to generate rebound excitation in OFF cells and gave rise to voltage-evoked dendrite calcium signals that were similar to those recorded from the dendrites of RGCs in non-dystrophic retina [rd1 alpha RGC activity are triggered by oscillatory synaptic inputs as shown by the fact that they persist under voltage clamp recording conditions and are eliminated by CNQX, a glutamatergic blocker (Unlike ganglion cells from normal animals, which generate resting spike activity with no obvious temporal periodicity, the rate of spontaneous spike discharge in alpha RGCs from animals blinded by degeneration is increased and consists of continuous rhythmic bursts of spikes with a bc retina . The rhy blocker .rd1 ON and OFF RGCs retain their normal distinguishing differences in the strengths of the excitatory and inhibitory inputs they receive, in spite of the ongoing oscillations in maintained synaptic activation, suggests that the organization and distribution of RGC contacts with presynaptic neurons have not been remodeled. The extensive changes in retina morphology that have been reported in this and other models of RP [rd1 animals where it appears that functional changes have occurred but massive remodeling of the inner retina has not taken place.The presynaptic source of the synaptic inputs that give rise to rhythmic firing is not known. That ls of RP , 29 emerls of RP . While trd1 retina show no evidence of having intrinsic pacemaker activity that gives rise to spontaneous fluctuations in membrane potential [Single cell recordings from bipolar cells isolated from dissociated otential . This inotential . This isotential , wide fiotential and dopaotential , 35 amacrd1 retina, it might be expected that oscillations in spike discharge would not be confined to local spatial areas, but would instead be rather widespread. Stasheff [\u03bcm spacing of the electrode array that the study made use of.This hypothesized mechanism for oscillatory spike discharge could be tested by recording from bipolar cells in an intact dystrophic retina to determine if rhythmic changes in membrane voltage are present and sensitive to inhibitory synaptic blockade. Note that the proposed circuit cannot be rejected solely on the basis of finding no evidence of periodic fluctuations in baseline voltage in recordings from bipolar cells in retinal slices . In suchStasheff , howeverIn the proposed circuit the oscillations that give rise to rhythmic RGC spike discharge originate in an unidentified amacrine cell as a result of photoreceptor death and deafferentation. In this scenario, it is the loss of photoreceptor synaptic input that unbalances the circuitry of the normal retina and in so doing exposes the resonant membrane properties of an amacrine cell that is normally held in check in the functionally intact retina. Resonance is a consequence of the interactions between the active and passive membrane properties of a cell that effrd1 mice were also present in single unit recordings in the visual cortex. Thus it is likely that the increased level of spontaneous activity that has been described in animals models of RP is also be present in patients with degenerative retinal disease and may participate in the generation of the phantom visual images that are reported by some RP patients [rd1-modified CNS circuitry gives rise to discontinuous visual sensations. In any case uncontrolled spontaneous spike activity would be expected to degrade the action potential encoded messages RGCs send to the brain and thus hinder attempts to restore vision using electrical or optical prosthetics designed to directly evoke RGC spike trains that the brain can interpret as meaningful visual information. The RP retina retains functional connections with the brain as shown originally by Drager and Hubel who founpatients \u201341. ThesResearch designed to evaluate the treatment of RP using electronic or optical retinal prosthetics has not considered the influence that increased spontaneous RGC spike discharge might have on the successful use of prosthetics. While electrical stimulation of the retina in blind subjects can evoke the sensation of light and provide a rudimentary means of detecting motion, it has not been possible to use this approach to elicit the complex pattern percepts that are associated with more robust visual function . Whether"}
+{"text": "Dear Sir,et al.,[I read with interest the recent case report submitted by Bhartia et al., which deet al., While thet al.,With their report, the authors added to the growing number of reports of patients with right paraduodenal hernia managed safely and effectively using a laparoscopic technique and reminded the astute surgeon to expedite diagnosis and possibly shorten length of stay in the hospital by entertaining the diagnosis of paraduodenal hernia. This is particularly true in adults who present with acute symptoms associated with small-bowel obstruction. For surgeons with significant experience in minimally invasive techniques, physical examination and abdominal radiographs followed by diagnostic laparoscopy and definitive laparoscopic repair is a viable option for patients with acute and chronic presentation of right paraduodenal hernia."}
+{"text": "It would be interesting to be able to quantify the extent of ROS formation. We investigated if histamine which is present at the inflammation site can serve as an endogenous marker for the formation of OH.. We found that histamine after incubation with OH. gave two distinct products in our HPLC system. One of the products gave the same characteristics as the synthesized 2-imidazolone derivative of histamine. This suggests that this derivative will be formed when histamine is incubated with OH..During inflammation an influx of neutrophils and release of mediators from mast cells (such as histamine) take place. The stimulated neutrophils can produce reactive oxygen species (ROS). One of these ROS is the highly reactive hydroxyl radical (OH"}
+{"text": "Intensity Modulated Radiation Therapy (IMRT) is a means of delivering radiation therapy where the intensity of the beam is varied within the treatment field. This is done by dividing a large beam into many small beamlets. Dose constraints are assigned to both the target and sensitive structures and computerised inverse optimization is performed to find the individual weights of this large number of beamlets. The computer adjusts the intensities of these beamlets according to the required planning dose objectives. The optimized intensity patterns are then decomposed into a series of deliverable multi leaf collimator (MLC) shapes in the sequencing step.One of the main problems of IMRT, which becomes even more apparent as the complexity of the IMRT plan increases, is the dramatic increase in the number of Monitor Units (MU) required to deliver a fractionated treatment. The difficulty with this increase in MU is its association with increased treatment times and a greater leakage of radiation from the MLCs increasing the total body dose and the risk of secondary cancers in patients. Therefore one attempts to find ways of reducing these MU without compromising plan quality.The design of inverse planning systems where the beam is divided into small beamlets to produce the required intensity map automatically introduces complexity into IMRT treatment planning. Plan complexity is associated with many negative factors such as dosimetric uncertainty and delivery issues A large search space is required necessitating much computing power. However, the limitations of the delivery technology are not taken into consideration when designing the ideal intensity map therefore a further step termed the sequencing step is required to convert the ideal intensity map into a deliverable one.Many approaches have been taken to reduce the complexity. These include setting intensity limits, putting penalties on the cost function and using smoothing filters Direct Aperture optimization (DAO) incorporates the limitations of the delivery technology at the initial design of the intensity map thereby eliminating the sequencing step. It also gives control over the number of segments and hence control over the complexity of the plan although the design of the segments is independent of the person preparing the plan. Intensity Modulated Radiation Therapy (IMRT) is an advanced form of 3D radiotherapy. The non-intuitive nature of IMRT planning can sometimes lead to very complex plans. This review highlights the difficulties of overly complex plans and evaluates Direct Aperture Optimization (DAO) as a potential means of reducing this complexity.Intensity Modulated Radiation therapy (IMRT) is a means of delivering radiation therapy where the intensity of the beam is varied within the treatment field. It is an advanced form of 3D conformal radiotherapy (3DCRT) which allows for more precise shaping of dose to the target and reduced dose to normal tissues. For example, in a study of 57 nasopharyngeal patients. IMRT sta3D conformal radiotherapy is forward planned requiring the expertise of the planner to decide on the weights, beam orientation, use of wedges or compensators to achieve the desired dose distribution. IMRT, in contrast, is inverse planned in that the planner inputs the desired tumour dose and dose limits and the computer adjusts the beam intensities to achieve as close as possible to this desired outcome. With inverse planning, the dose distribution is broken up into different beamlets, with the computer tracing each beamlet through the patient producing the initial dose distribution. By altering the weights of individual beamlets the computer can accept these changes if it results in an improved distribution. This process is repeated for all beamlets during a single cycle. This is repeated until no further improvements are seen. At present this computerised process is very lengthy as the adjustments required to produce an acceptable plan are not intuitive as with forward planning.IMRT can be delivered in many different ways; segmental, dynamic, arc or tomotherapy. Segmental IMRT (sIMRT) is where modulated field intensity is achieved by summing all the segments. The radiation is only turned on when the segment is in position, and is often known as step and shoot delivery. Dynamic MLC-IMRT is where the leaves are in continuous motion during each field. Although this method produces a more conformal dose distribution, a larger number of MU are required and there is more leaf transmission increasing the integral dose to normal tissue. As the The complexity of a plan is linked to the rate at which the fluence varies across each field. It is important however to avoid overly complex plans for several reasons.First, IMRT requires more treatment fields than conventional radiotherapy and therefore a larger volume of normal tissue is exposed to low doses of radiation. Second, IMRT treatments are inefficient with respect to the number of MU which are necessary to deliver daily fractional dose leading to an increased leakage exposure. The more complex the intensity patterns, the higher the number of MU will be required to deliver the prescribed dose. It has The increase in the number of monitor units relative to 3DCRT has led to concern about secondary malignancies with IMRT. Depending on the treatment energy IMRT treatments require 3.5\u20134.9 times as many MU to deliver a specified dose as compared to conventional treatments. From thHowever there is much uncertainty in these calculations of risk of secondary malignancies from the increase in MU. In factThe average number of MU per segment becomes very small for complex plans. This maTreatment planning algorithms are less accurate in more complex IMRT treatments. Treatment fields which contain highly modulated intensity regions will be affected by low resolution pencil beam kernels. This was apparent in a study which compared two commercial planning systems. One of the systems not only underestimated the dose of the high intensity peaks by over 13% but it also overestimated the horizontal spread of the dose at the sides of the peak. This inadequacy of this treatment planning system was only relevant in highly modulated fields.High dose rate, multiple beam segments, and low dose per segment have also been associated with the overshoot effect which generally occurs in the first and last beam segments due to the dose servo control system and causes an over and under dosage respectively. It occuIMRT plans can result in hot spots distant from the tumour, from crossing high intensity beamlets. This can be counteracted by drawing 'help structures' at the area of the crossing but this may result in the hot spot appearing elsewhere. A positive side effect of controlling the intensity variation may be that these distal spots are less prevalent.Decreasing the number of cycles in the optimization process has been shown to reduce dose dumping and MU. This maThe intensity distribution for each field is non-intuitive in highly complex plans and the complexity in general may increase the likelihood of human error. For example the verification of anatomical position through traditional imaging becomes difficult for multiple static segments of small size and varying intensity encompassing very little distinctive anatomy. This wilIn addition to the dosimetric uncertainty and less intuitive nature of complex plans there is also increased machine and resource allocation required which may increase treatment times and thusA limitation in planning IMRT treatments is the time the optimization process takes. This can be reduced by decreasing the search space or number of variables. A common procedure would be to input set gantry angles for this reason. As computing power improves this will be less of an issue, but an important consideration is to use the computer power and time available appropriately. For example it may be more productive to use a more accurate dose calculation algorithm than using computer power calculating very complex plans, which may lead to inaccuracies.IMRT can be forward planned or inverse planned. With forward planned IMRT the beams are first of all shaped to the target volume. Additional beam segments are then added and weightings are distributed between the larger beams and the segments in order to shape the isodose distribution. Forward planning IMRT has been shown to be superior to conventional forward planned tangential techniques in intact breast cancer although it is inferior to inverse planning techniques Aperture-based inverse planning IMRT adopts some of the features of forward planning and incorporates inverse planning into the process. Apertures are designed from the anatomical shape of the targets and conformal apertures are also designed that exclude critical structures. An inverse optimization is then performed to optimise the weights of the apertures within the provided dose constraints. This method therefore is a development of forward planning by using inverse planning software to optimise the weights of individual segments.Direct Aperture optimisation (DAO), sometimes termed Direct Machine Parameter Optimisation, is another IMRT optimisation technique where similarly to aperture based inverse planning the apertures are identified during the planning process. However with this technique the apertures are not selected by considering the anatomical relationship between the target and critical structures. The planner inputs the dose constraints, beam angles, energies and number of apertures. With DAO the planner can also put a constraint on the minimum size of each aperture and place a lower bound on the weight . The ape2. Dose constraints are assigned to the targets and sensitive structures. Computerised inverse optimization must be performed to find the individual weights of this large number of beamlets. The computer adjusts the intensities of these beamlets according to the required planning dose objectives. Plans frequently fail to achieve the desired dose constraints and so clinical decisions have to be made as to which are most important and which can be relaxed. Once the optimal fluence map is decided upon there is a further leaf sequencing step. The optimized intensity patterns are decomposed into a series of deliverable MLC shapes made up of a number of basic beamlets with mathematically related weights/intensities. This typically results in a total number of leaf segments ranging from 60\u2013100 in prostate only IMRT plans[Beamlet based optimization divides a large beam into many small beamlets of about 1 cmMRT plans.In converting the plan from the computer generated solution to deliverable segments, the dose distribution will degrade from that originally decided upon. In comparing beamlet based sIMRT for three commercial inverse planning similar performance was found in all three systems and IMRT plans tended to converge. The main differences in the IMRT plans concerned dose gradients outside the target, MU and segment number; demonstrating the impact of the sequencing step. In anotDAO differs from beamlet based optimization in that it does not rely on the use of a segmentation routine (sequencing step) to select the initial leaf sequence as this step is incorporated into the original optimisation. Therefore with DAO the planner has direct control over the complexity of the IMRT plan. With DAO the treatment plan is optimized using a deliverable treatment solution. This avoids the plan degradation which can occur during the conversion of the ideal intensity map into a deliverable one at the end of optimization. The main purpose of direct aperture optimisation is to reduce the number of segments and MU required to treat a complex arrangement of targets and surrounding structures. The problems with large numbers of segments and high total MU have been discussed earlier.Many of the dosimetric concerns associated with IMRT such as low MU per segment, high overall MU, and dosimetric uncertainties can be improved by controlling plan complexity. Direct aperture optimization is a method of controlling complexity that provides a significant reduction in the number of beam segments and MU required. However it also has the advantage over other methods of complexity reduction in that it eliminates the sequencing step which is associated with plan degradation. Studies which evaluated the use of DAO in the clinical setting are illustrated in table When DAO was compared to 3D conformal radiotherapy, and beamlet based IMRT in 15 breast cancer patients it was found that DAO plans were equal to or better than those generated with 3D-CRT and standard beamlet IMRT. DAO IMRIn another study which compared DAO and beamlet based IMRT plans of 12 breast cancer patients the doseJones at al. comparedIn a study of 10 hypopharyngeal patients, acting as their own control, no statistically significant difference was found for compliance to the dose volume constraints although the mean dose to the parotid was lower with the beamlet based plans compared to the DAO plans. Dose homogeneity within the PTV was superior for the DAO plans and they also required significantly less MU to deliver .Ludlub et al. comparedThe use of pencil beam algorithms when calculating IMRT treatments can lead to inaccuracies in difficult to calculate treatment geometries. To address this problem, Monte Carlo (MC) simulated dose data can be used with DAO in the optimization step. The optimized plan then undergoes a final dose calculation using MC. This is referred to as a MC DAO plan. This technique would be useful for planning small field IMRT cases for PTVs located within or adjacent to tissue inhomogenities. The optimized DVHs generated by the MC_DAO software are already a faithful representation of the final MC forward calculated doses as there is no leaf sequencing step required.DAO can also be applied with collimator rotation, termed rotating aperture optimisation (RAO). Plans generated with RAO were found to be as good as or better than DAO, while maintaining a smaller number of apertures and MU than beamlet based optimization. RAO is less sensitive to tongue and groove effects than DAO. However delivery time is increased due to the collimator rotation speed.Reducing the complexity of IMRT has been the focus of this review, but it has to be noted that there is a limit to the degree which the complexity of the plan can be reduced before severely affecting plan quality. This was demonstrated in prostate patients where it was found that for DAO plans with 20 segments the conformal indices values dropped drastically when compared to plans with 40 or greater segments confirming the indication for a threshold for the minimum number of segments. It was The smallest width of any aperture is the width of an MLC leaf and the minimum length of any aperture is determined by the minimum step size along the direction of travel of the MLC leaves. The quality of an IMRT plan can be improved by increasing the number of degrees of freedom. Therefore increasing the number of apertures per beam should improve plan quality. Reducing the step size from 10 mm to 1 mm demonstrated continuous improvements in the objective function value and led to steeper dose gradients between the target and critical structures. HoweverOther methods have been suggested to increase delivery efficiency and reduce MU without significantly affecting plan quality. In a study of 9 patients (including head and neck prostate and brain) it was found that by using intensity limits during inverse planning it was possible to reduce the total MU without compromising the clinical acceptability of the plan. MU reductions up to 38% were observed.Matuszak et al. looked aSmoothing parameters as either part of the optimization process or post optimization have been used to reduce the complexity in IMRT. Although those applied post optimization usually result in degradation of the plan quality, it has been shown that a smoother fluence can result in a reduction in dose to the healthy tissue and again that a reduction in fluence complexity is strictly correlated with a reduction in MU. Increasing the smoothing parameter has been shown to have an impact on the accuracy of delivery,30.It is important to reduce the complexity of IMRT plans as much as possible as overly complex plans deliver unnecessarily high MU and excessive radiation leakage. There is also more dosimetric uncertainty associated with highly complex plans as well as increased pressure on resources. Therefore a balance needs to be found between plan complexity and optimal dosimetry. Forward planning provides better dosimetry than 3D but is inferior in general to inverse planning approaches. Aperture based planning takes on some of the elements of forward and inverse planning. DAO differs from aperture based planning in that it is an entirely inverse planned approach which incorporates the restrictions of the treatment machine into the optimisation process. Many approaches have been taken to reducing the complexity of IMRT plans such as setting intensity limits, putting penalties on the cost function and using smoothing filters. DAO incorporates the treatment machine restrictions into the optimisation process thereby eliminating the sequencing step which has been associated with plan degradation. DAO has been associated with a reduction in MU in a number of clinical situations but further research needs to be conducted to establish the optimum number of segments for targets and OARs of varying geometry as it may not be possible to reduce segment number and MUs in the more difficult geometries.Due to increased pressure on resources, dosimetric uncertainties and leakage of radiation, treatment plans with very small fields, low MU per segment and high overall MU are not optimal. It is necessary therefore to look at ways of reducing the complexity of beamlet based IMRT treatment plans. It is also desirable to reduce the discrepancy between the optimal treatment solution and the deliverable treatment solution following segmentation. Many approaches have been taken to addressing these issues. This review discusses the potential role of DAO in attempting to reduce the number of field segments while achieving a similar dose distribution.IMRT: Intensity Modulated Radiation Therapy; MLC: Multi leaf collimator; MU: Monitor Units; DAO: Direct Aperture optimization; 3DCRT: 3D conformal radiation therapy; sIMRT: segmental IMRT; sMLC: static MLC; TLD: thermo luminescent dosimeters; MC: Monte Carlo; RAO: Rotating Aperture optinization; OAR: Organ at riskThe authors declare that they have no competing interests.MB conceived and drafted the manuscript. ML critically reviewed/revised the article. MC drafted the abstract. All authors read and approved the final manuscript."}
+{"text": "The occurrence of organ-specific antigens on the surface of cells freshly isolated from normal adult rat liver and from liver cell lines cultured as monolayers for up to 6 months is demonstrated. Enzyme treatment used to disaggregate parenchymal cells from liver tissue did not result in appreciable changes in the antigen profile of the cell surface membrane."}
+{"text": "Incompleteness of ascertainment of new cases of any disease leads to underestimation of its incidence rate and may result in false assumptions about incidence trends if incompleteness varies over the course of time . We report an attempt to assess the completeness of ascertainment in a cancer registry in the North-Western Region of England using a method based on independent comparison with accurate morbidity data. A total of 1955 verified cases of cancer from 5 independent sources covering 11 sites were used in the study. The corrected mean level of overall registration completeness was found to be 94% but this varied appreciably with site and source of data. Independent comparison is recommended as an effective method for estimating the completeness of cancer registration."}
+{"text": "Support for family carers is a core function of palliative care. Family meetings are commonly recommended as a useful way for health care professionals to convey information, discuss goals of care and plan care strategies with patients and family carers. Yet it seems there is insufficient research to demonstrate the utlility of family meetings or the best way to conduct them. This study sought to develop multidisciplinary clinical practice guidelines for conducting family meetings in the specialist palliative care setting based on available evidence and consensus based expert opinion.The guidelines were developed via the following methods: (1) A literature review; (2) Conceptual framework; (3) Refinement of the guidelines based on feedback from an expert panel and focus groups with multidisciplinary specialists from three palliative care units and three major teaching hospitals in Melbourne, Australia.The literature review revealed that no comprehensive exploration of the conduct and utility of family meetings in the specialist palliative care setting has occurred. Preliminary clinical guidelines were developed by the research team, based on relevant literature and a conceptual framework informed by: single session therapy, principles of therapeutic communication and models of coping and family consultation. A multidisciplinary expert panel refined the content of the guidelines and the applicability of the guidelines was then assessed via two focus groups of multidisciplinary palliative care specialists. The complete version of the guidelines is presented.Family meetings provide an opportunity to enhance the quality of care provided to palliative care patients and their family carers. The clinical guidelines developed from this study offer a framework for preparing, conducting and evaluating family meetings. Future research and clinical implications are outlined. Palliative care is expected to be holistic and multidisciplinary; it is provided to both the patient and their family . EffectiHowever despite the promotion of family meetings as an essential tool for information sharing and goal clarification in specialist palliative care settings, it has been reported that sparse evidence exists to demonstrate the process for training staff to conduct or participate in them . It has We set out to develop practice guidelines for conducting family meetings within the context of the specialist palliative care setting, based on the best available evidence and complemented by consensus based expert opinion. For the purposes of these guidelines we define a specialist palliative care setting as a health care environment or service that specifically focuses on the care of patients with an advanced incurable disease and their family. An evaluation of the effectiveness of these guidelines in clinical practice will be reported separately.Key questions guiding the development of the guidelines were: (a) How should family meetings be convened and structured? (b) What content is essential? and (c) Who should attend and lead them?Development of the guidelines was based on the following three methods: (1) A literature search using MEDLINE (1995 \u2013 2007), CINAHL (1995 \u2013 2007), and PsycINFO (1995\u20132007) databases. The principal search terms used either singly or in combination, were: family, carers, case, conference, meeting, hospice and palliative care. Key palliative care textbooks (eg ) and theData from the expert panel and focus groups were audiotaped and transcribed verbatim. These data were then content analysed in accordance with the structured questions set by the research team.The literature search revealed only three published articles in peer reviewed journals specifically related to family meetings in the specialist palliative care setting ,3,7. DueOne palliative care related article acknowledged that most health professionals do not receive sufficient training to conduct family meetings . The autThe opinion based family meeting guidelines for health professionals advocated suitable planning and an overt purpose in order to conduct an effective meeting. Other key recommendations included giving consideration to who should attend, a meeting place that ensures privacy and a method for disseminating outcomes of the meeting.Similar recommendations on how to conduct a family meeting exist in the aged care setting . While tA practice model for nurses working with families has been developed . It inclThe conduct of family meetings has also been described in the context of training medical practitioners . Two relOur review identified several studies that explored family meetings within the context of the intensive care unit (ICU) -20. EvenA study involving qualitative analysis of 51 family conferences across four ICUs in the USA and a survey of 169 family members regarding their satisfaction with communication found that increasing the frequency of three types of clinicians' statements during family conferences was associated with increased family satisfaction. These sLilly and colleagues examined the effectiveness of a proactive patient and family centred communication strategy within the ICU . The intA study conducted in France aimed to measure the amount of time physicians in ICU spent with patients' families by examining contact over a 24 hour period with 951 patients . The medA cross sectional study involving audiotaping family meetings in the ICU concluded that family satisfaction with communication was increased when they were given ample opportunity to voice their concerns, rather than just listening to the medical staff . LautretIn summary, from our review of the literature, while family meetings are promoted as a common and valuable tool within the context of specialist palliative care there is limited evidence related to how they should be conducted and indeed whether they are valuable, most evidence being extrapolated from other settings. Furthermore, despite the apparent support for family meetings, there is limited evidence from the literature that explores ways of preparing or educating health professionals to conduct them . While tThe conceptual foundation for the family meeting guidelines for palliative care was derived initially by the research team from the available literature and then with input from the expert panel. Research team and panel members drew upon their knowledge of various conceptual and theoretical models which appeared to be applicable to underpinning the guidelines. The final conceptual foundation was informed by: (1) The transactional model of stress and coping, (2) Single session therapy, (3) Family consultation model and (4) Therapeutic communication principles. A brief overview of each is now provided.The diversity of responses related to end-of-life issues from patient and family carers can be understood from a psychological perspective based on a transactional model of coping in which cognitive appraisals are made to determine the possible impact of a potentially stressful event -23. The The psychologist, Moshe Talmon is most often associated with the development of Single Session Therapy which he articulated in his texts in the early 1990s in the United States . Talmon Over time the practice of Single Session Therapy has developed into an approach and set of techniques that emphasizes both the client and the therapist approaching their single session with an attitude of trying to make the most of each meeting (even if further sessions are needed). It also sees Single Session Therapy as part of a process that begins with initial contact and includes phone contact after the session with the client. An advantage of the single session method is that it has been used in combination with a range of counselling approaches with differing theoretical orientations.More recently, there have been attempts to integrate Single Session approaches, including the types of questions used, into existing work roles; for example, as part of intake or assessment processes in mental health settings. In other contexts it has been used to inform meeting practices with families, where ongoing treatment and contact occurs with an individual but where professional contact with their family may be occasional or episodic. Family meetings in palliative care typically occur only once . The tenets of single session therapy therefore seem relevant to the development of family meetings clinical guidelines. Although we contend that conducting a routine family meeting should not be considered as 'therapy', some principles of single session therapy appear applicable.Family Consultation is a model of family intervention that emerged in the mental health field in the United States in the late 1980s . It arosThe model assumes a position of family competence and seeks to cultivate a respectful and reciprocal relationship between health professionals and families . In pracGuidelines for therapeutic communication and psychosocial support for adults with cancer offer stThe research team developed the initial draft of the clinical guidelines based on their clinical experience, the aforementioned literature review and the conceptual framework. The guidelines were then refined by an expert panel comprising: family therapist, social worker, psychologist, clinical nurse consultant, pastoral care consultant, consumer representative, and a palliative care medical consultant.After several iterations a penultimate version of the guidelines was presented at two focus groups for feedback to inform the final version of the guidelines. The first focus group consisted of multi-disciplinary team members from three metropolitan palliative care in-patient units. There were seven participants in this focus group. The health professionals represented the following disciplines: medicine (2); nursing (2); social work (1); occupational therapy (1); and pastoral care (1). The second focus group consisted of consultative palliative care service representatives from three major metropolitan hospitals. Eight participants contributed to this focus group including palliative care medical consultants (3); clinical nurses consultants (4); and social worker (1). Commensurate with the focus group questions (developed by the research team) the results were categorised in the following content areas: (a) description of current practice related to family meetings; (b) recommended core elements of family meetings and (c) feedback on the draft version of the family meeting clinical practice guidelines.A summary of the results is now outlined. In relation to current practice regarding family meetings it was reported that:\u2022 Meetings were typically offered based on need and not routinely;\u2022 Meetings were typically convened and chaired by a social worker;\u2022 The treating team usually determined who attended the meeting;\u2022 Formal training in conducting family meetings does not occur as part of general training;\u2022 Some units use a family meeting guide that they had developed internally;\u2022 The typical purpose of meetings was to find out what a family already knows about patient's prognosis and whether there are any gaps in knowledge;\u2022 Relevant health professionals generally try to meet before the meeting to clarify the goal of the meeting;\u2022 The social worker (who is commonly the chairperson) usually documents the outcomes of the meeting in the patient' medical record;\u2022 Documentation of the meeting discussion and outcome is not usually provided to the family;\u2022 Meetings are not formally evaluated as part of a quality improvement strategies.In relation to recommendations regarding core elements of family meetings it was reported that:\u2022 Good communication skills were considered essential;\u2022 A friendly and comfortable environment should be promoted;\u2022 Common goals and objectives should be established for the meeting;\u2022 Only key health professionals should be present at the meeting;\u2022 A designated chairperson is required for the meeting;\u2022 An agenda, specified aims and objectives should be confirmed at the start of the meeting;\u2022 The meeting should also be used as a forum to provide and gather information;\u2022 Allowing time at the beginning of the family meeting for introductions was considered essential.In relation to feedback regarding the draft version of the clinical guidelines for family meetings there was general consensus that the guidelines were applicable to the clinical setting and contained the aforementioned key elements. However the following points were considered important to be included in the guidelines:\u2022 Clarification of some terms throughout the protocol to reduce ambiguity was recommended;\u2022 Limiting the number to 'one or two' family members and/or friends was highlighted as a potential challenge in practice;\u2022 Ensuring that each discipline represented at the meeting has an opportunity to contribute was considered important;\u2022 Where pertinent and if possible (resources permitting), offer a family meeting via teleconference.The guidelines for conducting family meetings are outlined in Table \u2022 Family meetings can be a useful way to assist patients and family members to clarify goals of care, consider site of care options, and to share information. Ideally they provide a safe environment where issues and questions can be raised and appropriate strategies agreed upon.offer family meetings based on need.\u2022 Strategies to support family carers are a core component of palliative care; hence service providers have a responsibility to \u2022 Service providers should view family meetings as mutually beneficial. They are not only potentially valuable for patients and family carers; they may also provide a resource effective way to explain what the service can and cannot offer. Such meetings provide an opportunity to triage priority issues and a way to make referrals to other health professionals or other institutions early in the care planning phase.not be used as an opportunity for health care professionals to debate a patient's medical status; in this situation, a case conference should be convened prior to the family meeting.\u2022 Family meetings should \u2022 Family meetings should not be saved for 'crisis' situations. Instead, a preventative approach is advocated where issues are anticipated before they become major dilemmas. Hence a proactive rather than reactive approach to care is fostered.offered routinely on admission, and conducted at a pertinent time thereafter.\u2022 Ideally, family meetings are \u2022 Facilitators of family meetings require appropriate skills in group work, therapeutic communication and palliative care. We contend that the decision about who (i.e. which discipline) should convene and facilitate a family meeting is best determined on pragmatic grounds and not based on hierarchical reasons (i.e. based on authority). Hence the multidisciplinary team should determine who conducts the family meeting and presumably this may change depending upon skills, knowledge of the family and resources.\u2022 Occasionally, family members may want to withhold details of the patient's prognosis from the patient; there may be incongruent wishes about the site of care; 'desire to die' statements may have been made by the patient; or there may be conflict within the family or difficulties regarding the transition from curative treatment to palliative care. In these circumstances we recommend the key resources and references to support therapeutic communication outlined in Table \u2022 Pre-planning for the actual meeting is imperative as outlined in Table \u2022 Suitable resources should be available to patients and family members who attend the meeting in order to complement the verbal information .Family meetings provide an ideal avenue to inform, deliberate, clarify and set goals for future care, based on discussions between health professionals and the patient and family. While there is consensus in the literature that family meetings are necessary and valuable, our study identified an absence of empirical evidence, within the context of specialist palliative care settings, to guide when they are required, who should attend, how they should be conducted and whether or not they are beneficial. Evidence from the intensive care context appears to offer the best guidance to date. While these data are important, caution is needed when considering their applicability to specialist palliative care settings where the population is somewhat different.The feedback from clinicians involved in the focus groups in this study also complemented other claims that most palliative care health professionals receive little or no preparation to conduct family meetings . Focus gThe clinical guidelines described herewith (based on a multidisciplinary research based approach) aim to assist health care professionals working in specialist palliative care to convene and conduct family meetings. Nonetheless, our study had several limitations and consequently more research is required. The clinical guidelines presented were in the most part based on expert opinion owing to the paucity of available research evidence. Accordingly, a formal evaluation of the benefits (or otherwise) of family meetings conducted using the guidelines is required. Furthermore, it would be advantageous to know whether the guidelines are applicable to other palliative care settings such as home care and aged care. Moreover, testing the utility of the guidelines in other countries is warranted. Our literature review included studies undertaken after 1995, hence there may have been evaluations of family meetings in palliative care conducted prior to this period. However, if so, the relevance of research findings almost 15 years on may be questionable. Evaluating strategies to prepare health care professionals to conduct family meetings would also be valuable .The essence of palliative care provision is effective communication amongst health professionals, patients and their family carers. Family meetings are one potential method of interaction that may facilitate optimal care planning and support and seem to be commonly used in palliative care. To our surprise however, according to our review, there have been no research studies within specialist palliative care settings that have examined: when meetings should be convened, how they should be conducted; who should attend and whether or not they are effective. It is intended that the clinical guidelines presented here will aid health care professionals to plan, conduct and evaluate family meetings. However, we recommend that the utility of these guidelines undergo additional examination.The authors declare that they have no competing interests.PH was the principal investigator for the study and was awarded a Postdoctoral Research Grant to undertake the project. He oversaw the grant application, management of the research project and was responsible for drafting the manuscript and preparing the final submission and responsible for coordinating feedback regarding reviewer and editorial queries. KQ was a chief investigator for the project and assisted with design, data collection, project oversight and provided input into the manuscript focusing on the literature review. BO'H was a consultant for the project focusing on the areas of single session therapy and assisted primarily with the conceptual framework and literature review sections of the manuscript. SA was a chief investigator for the project and helped conceptualise the study design and provided feedback on draft versions of the manuscript. All authors read and approved the final manuscript.The pre-publication history for this paper can be accessed here:"}
+{"text": "Attempts to identify particular aspects of psychosocial work conditions as predictors of sickness absence remain inconclusive. A global measure has previously been suggested to be an efficient way to measure psychosocial work conditions in questionnaires. This paper investigates whether satisfaction with specific aspects of psychosocial work conditions explains sickness absence beyond its association with a global measure of psychosocial work conditions.The participants were 13,437 employees from 698 public service workplaces in Aarhus County, Denmark. 33 items from a questionnaire fell in groupings around six aspects of psychosocial work conditions: skill discretion, professionalism, management, decision authority, workload and cooperation. A global measure rating satisfaction with psychosocial work conditions on a scale from 0 to 10 was also included in the questionnaire. Individual ratings were aggregated to workplace scores. Analysis of variance and multiple linear regression was used to compare the average number of days of yearly sickness absence with different levels of satisfaction with six aspects of psychosocial work conditions. The covariates included were gender, age, occupation, size of workplace, contact to hospital, civil status and children below 13 living at home.Dissatisfaction with each of the six aspects of psychosocial work conditions was associated with an increase in sickness absence. When all aspects were simultaneously included in the model, only skill discretion and professionalism were negatively associated with sickness absence. When a global measure of satisfaction with psychosocial work conditions was also included in the model none of the specific aspects showed a statistically significant association with sickness absence.Low global satisfaction with psychosocial work conditions is associated with increased levels of sickness absence. Including specific aspects of psychosocial work conditions in the model does not provide further information regarding the nature of this association. Many studies have attempted to establish the association between specific aspects of psychosocial work conditions and sickness absence. -10 Most In a previous study we examined the association between a global measure of psychosocial work conditions and sickness absence. We found a positive correlation between the level of satisfaction with psychosocial work conditions and the amount of sickness absence across different occupations and types of work places. A global measure is a parsimonious way of measuring psychosocial work conditions, assuming that the overall concept of psychosocial work conditions is conceived in a more homogenous way across heterogenous populations than separate aspects of psychosocial work conditions.The purpose of the present study was to investigate the relationship between specific aspects of psychosocial work conditions and sickness absence in a large sample of public services employees. Additionally it examines whether specific aspects of psychosocial work conditions explain sickness absence beyond the association found regarding the global measure. The study includes aspects of psychosocial work conditions evaluating professionalism and management that are not commonly included in studies regarding psychosocial work conditions.Two specific questions raised are i) do specific aspects of psychosocial work conditions function as independent predictors of sickness absence beyond a one-dimensional global measure of satisfaction with psychosocial work conditions? And ii) does the character of the association between psychosocial work conditions and sickness absence vary across different occupations?From April 2002 through April 2005 Aarhus County in Denmark conducted a general survey of the psychosocial work conditions among all employees, with the intent to use the results to improve psychosocial work conditions. . The surThe study population included 13,437 employees from 698 different workplaces in Aarhus County who received a questionnaire in one of the surveys can be evaluated by a simple correlation matrix Table .Four of the scales were closer correlated than the others with coefficients between 0.51 and 0.67. The same four aspects were also closer correlated to the global measure than skill discretion and workload. Workload and skill discretion were least correlated to the other aspects (Pearson's correlation coefficients between 0.29 and 0.50).The content validity was evaluated by two occupational psychologists. They were asked to place the original 40 items under headings with aspects commonly regarded as key aspects of psychosocial work conditions . The questionnaire was found to include measures of all of these aspects.th was chosen as the start date of measurement of sickness absence.Data regarding sickness absence were obtained from the salaries administrative system of the County of Aarhus. Reporting of sickness absence is compulsory and necessary to obtain wage reimbursement. The data are produced by each workplace and submitted to the administrative system each week. The data contain a record for each day of absence for every employee. Only the instances explicitly coded with illness as the reason for absence were included, thus excluding maternity leave and other reasons for absence. Data regarding sickness absence could only be linked to data regarding psychosocial work conditions at the workplace level, as the latter were not available at the individual level. The outcome measure was the number of days of sickness absence through one year for each employee. The number of spells of sickness absence was also examined. The distribution of spells was similar to the distribution of the number of days and the association to psychosocial work conditions was also similar. Choosing spells of sickness absence as our outcome measure would thus have lead to the same conclusions. The time period used was 6 months before and 6 months after the time of measurement of psychosocial work conditions. As only the month of measurement of satisfaction with psychosocial work conditions was known the 15The covariates included in the adjusted analyses were: gender ; age (continuous); occupation ; the size of the workplace unit ; marital status ; children ; and registered illness during the year of measurement of sickness absence .The responses to the items of each aspect were added using equal weights and scaled from 0 to 100. The global measure was also transformed to a 0 to 100 scale. The aggregated workplace unit scores from each of the 698 workplace-units were assigned to each employee for all of the aspects.The aggregate scores where divided into septiles. A low level of satisfaction was defined as the lowest septile, medium satisfaction as the 5 middle septiles and high satisfaction as the highest septile. The levels were defined to satisfy a trade off between the size of the groups and the magnitude of contrast between the groups. No absolute cut off point could be used across the 6 aspects as the distributions cover different spans of the 0 to 100-scale.Analyses were performed using the workplace unit scores on the 6 aspects of psychosocial work conditions as predictors of the individual number of days of sickness absence throughout a one-year period. In the first step of the analyses we compared the number of sickness absence days during a year for the three levels of satisfaction for each aspect and the global measure. Analysis of variance was used to test differences between mean values of sickness absence across the three levels of the scores. In a second step we used multiple linear regression to estimate the effect of a one-unit increase in the satisfaction with psychosocial work conditions on sickness absence.Estimates were calculated including the covariates with and without control for the other aspects in order to investigate how much the individual aspects contributed to prediction of sickness absence.The SAS 9.13 statistical package was used for all statistical analyses. Analysis of variance and multiple linear regression was performed using the MIXED procedure with the repeated option account for the workplace clustered nature of the data on satisfaction with psychosocial work conditions. All covariates were included in the model regardless of their contribution to the explanation of sickness absence variation. The distributions of the scores on the 6 aspects and of the global measure of psychosocial work conditions are presented in figure Distribution of 6 aspects and a global measure of psychosocial work conditionsTable The results from the first step of the analyses showed a statistically significant association between increasing satisfaction and decreasing sickness absence for all aspects except workload. For the 5 other components the decrease in sickness absence was statistically significant between the lowest and the medium level of satisfaction with psychosocial work conditions while the difference between the medium and the highest level was not statistically significant. Skill discretion, professionalism and decision authority were most closely associated with sickness absence. A 10 points increase in satisfaction with psychosocial work conditions on each of these 3 aspects was associated with a 1 \u2013 1.5 days decrease in sickness absence per year.In the second step of the analyses, when all 6 aspects were included in the model only the skill discretion-aspect was statistically significantly associated with sickness absence ). The professionalism aspect had an equally high but not statistically significant regression coefficient ).In a third step we tested whether any of the aspects could independently predict sickness absence when a global measure of satisfaction with psychosocial work conditions was also included in the model. Only decision authority had a statistically significant, independent association with sickness absence ) and the effect was in the opposite direction than expected. Regression coefficients were positive (but non-significant) for all other aspects except skill discretion. The global measure was consistently negatively associated with sickness absence regardless of which of the 6 aspects were included in the model and it also had the strongest explanatory power in itself .The effect of poor satisfaction with psychosocial work conditions on sickness absence could not be further explained by including specific aspects of psychosocial work conditions in the model. The overall results from the model with all 6 aspects did not apply generally across all occupations included in the study. For some occupations other aspects than skill discretion or professionalism were closer associated with sickness absence. None of these associations were statistically significant when all 6 aspects were included in the model. For most occupations none of the aspects were associated with sickness absence (results not shown).We found that all aspects of psychosocial work conditions included in the study, except workload, were individually negatively associated with sickness absence. The amount of sickness absence was notably lower in the group with medium satisfaction with psychosocial work conditions than in the most dissatisfied group. When all aspects were included simultaneously in the model, skill discretion and professionalism showed the strongest association with sickness absence. The meaning of work, development opportunities and the deployment of personal and professional resources, which are inherent in the skill discretion aspect thus provide the best target for improving psychosocial work conditions in order to reduce sickness absence. Skill discretion was not highly correlated with the global measure, thus rendering an independent explanatory power on sickness absence possible.The negative association between professionalism and sickness absence (regression coefficient -0.11) was not statistically significant. Professionalism was more closely correlated to the global measure than skill discretion.When a global measure of psychosocial work conditions was included in the model, only one of the six aspects of psychosocial work conditions, namely decision authority, was associated with sickness absence. Surprisingly, an increase in decision authority was associated with increased sickness absence. The reason for this independent explanatory contribution could be that decision authority is not always contributing to enhance the psychosocial work conditions. Increased decision authority means increased responsibility and new ways of working can lead to a blurring of work and private life. The result could also be an artifact due to inclusion of overlapping variables in the analysis.Specific aspects of psychosocial work conditions have not explained sickness absence beyond its negative association with the global measure found in our previous study.Most previous studies have implicitly assumed that psychosocial work conditions can be divided into a number of clearly distinguishable aspects that can be consequently identified as latent variables across heterogeneous populations and thus measured with the use of generic questionnaires.Typically studies took offset in Karasek's demands, control (and support) model or SiegrThe use of a global measure provides the opportunity to examine the explanatory power of specific aspects as compared to the global measure. This study suggested that psychosocial work conditions may be more of a one dimensional concept than previous studies have hypothesized, because the global measure explained more of the negative association between psychosocial work conditions and sickness absence than any of the aspects included in this study.If the specific aspects of psychosocial work conditions do not have any independent explanatory power when a global measure is included, then the aspects do not explain the association beyond the association found between sickness absence and the global measure.When only a limited number of items or aspects are included in a study, they could all account for the effect of the common latent aspect \"psychosocial work conditions\" and could lead to false conclusions. Furthermore, even when the association between a global measure of psychosocial work conditions and sickness absence is consistent across subpopulations, the combination of aspects of psychosocial work conditions responsible for this association may be different across subpopulations. The inconsistent results of earlier studies suggest that this indeed may be the case.Subpopulations are typically divided according to gender, occupation or type of institution. It also remains unclear whether specific dimensions of psychosocial work conditions are associated with sickness absence in the same manner across all of these subpopulations. Particular characteristics of the workplace amounting to a workplace \"culture\" may be more important for the association than e.g. different occupational categories.The strengths of this study are that it is based on a large and heterogeneous study sample and in the independent measurement of exposure and outcome. Our data on sickness absence are highly reliable, as the Danish legislation requires accurate registration for reimbursement of expenses. Equally the response rate in the surveys of psychosocial work conditions was high (81.0%). The validity of the 6 scales used in this study was evaluated through measurements of internal consistency, convergent, discriminant and content validity. On these criteria they performed adequately. The inclusion of the global measure of psychosocial work conditions allowed for further testing of the discriminant validity. However, the study also has some limitations: important predicting variables such as physical demands, shift wIndividual data regarding sickness absence could only be linked to workplace levels of psychosocial work conditions. This is both a limitation, possibly responsible for weakening the association found in the study but also a strength as the use of workplace unit scores may minimize the effect of individual characteristics not related to the workplace as the effect of these variables may be expected to be randomly distributed across workplaces in our study sample.Our design provides a better background to believe that our results represent an association truly related to satisfaction with psychosocial work conditions as it avoids the triviality trap of personal characteristics associated to both proneness to sickness absence and reporting of low satisfaction with psychosocial work conditions.We have earlier found a strong and consistent association between general satisfaction with psychosocial work conditions and sickness absence. The present study indicates that this association is not further explained by including measures of specific aspects of psychosocial work conditions as management, cooperation, skill discretion, professionalism, work load and decision authority.Instead it is a general dissatisfaction with psychosocial work conditions that is associated to sickness absence rather than a specific combination of different aspects of the psychosocial work conditions. No particular aspects can be identified as associated clearly to sickness absence neither in the total study population nor in occupational subgroups.A general recommendation for workplaces with poor psychosocial work conditions would be to focus particularly on the items and aspects with low scores in their own local survey results instead of pointing to specific aspects as being generally associated to sickness absence across all subpopulations. It can also be recommended to focus particularly on workplaces with low satisfaction with psychosocial work conditions because the difference in amount of sickness absence is most notable between the groups of workplaces with low and medium levels of satisfaction.Across large and heterogenous populations associations between psychosocial work conditions and sickness absence we find it appropriate to use a single global question as a screening to spot workplaces with particular problems regarding psychosocial work conditions. In a forthcoming study concerning interventions to improve psychosocial work conditions we argue, that only at workplaces with poor psychosocial work conditions (the lowest septile) there is an effect on sickness absence of intervening to improve psychosocial work conditions. At the workplaces spotted through the screening it will make sense to make a more detailed survey of psychosocial work conditions to clarify the aspects of psychosocial work conditions most in need for improvement and as indicators for measurement of the effect of subsequent interventions.The authors declare that they have no competing interests.TM was the main author of the manuscript and has contributed to all phases of it. JW and JPB contributed substantially to the conception, design, analysis and interpretation of data and the drafting and revision of the manuscript. EA and NW contributed substantially to the analysis and interpretation of data and to the revision of the manuscript. All authors read and approved the final manuscript.The pre-publication history for this paper can be accessed here:Characteristics of 13,437 participants.Click here for fileSix aspects of psychosocial work conditions and the items used to measure them .Click here for file"}
+{"text": "Sentinel lymph node (SLN) detection and biopsy is gaining popularity in the treatment of Head and Neck cancer. Various methods in this regard have been described, each with their respective advantages and disadvantages. The aim of this paper was to evaluate the potential application of Indocyanin Green (ICG) in the mapping and detection of sentinel lymph nodes (SLN) in cancers of the head and neck.Patients with oropharyngeal cancer and N0 neck who were scheduled for primary tumor ablation as well as a neck dissection were selected. One milliliter of Indocyanin green was injected around the tumor and the sentinel node detection was performed by aiming the infra red video camera on the cervical area. When no detection was possible transcutaneously, a cervical incision was made, a sub-platysmal flap raised and further detection was done to visualize the fluorescing lymph nodes.Detection of cervical SLN was only possible when 5 mm or less tissue covered the sentinel lymph node. Accurate and clear detection of the lymph drainage pattern and SLN was possible. There is some uptake in other tissues such as the submandibular gland which is easily distinguishable from lymphatic tissue.Indocyanin green fluorescence is a potential valuable potential tool in the detection of SLN in patients with oropharyngeal cancer which warrants further investigation. It is well known that poorer prognosis prevails in head and neck cancer patients that develop metastatic lymph nodes and even more so if there is evidence of extra capsular spread. This is one of the reasons why elective neck dissections are frequently performed even in patients with N0 necks .There are no clear and accurate guidelines regarding the decision to perform a neck dissection concurrent to the ablation of the primary tumor in the N0 neck. Clinical staging of the neck by manual examination is notoriously inaccurate, especially in patients with more voluminous necks. Radiological staging with either CT or MRI has improved the sensitivity for identifying nodal metastatic disease and has contributed to the upstaging of necks in a significant number of patients, resulting in a more accurate selection of patients requiring a neck dissection. With size alone as one of the more important criteria in this regard it has been shown that an important group of patients at risk for occult lymphatic metastasis may be missed ,3.The potential benefit of CT-PET in the pre operative evaluation of patients with a negative CT or MRI is still controversial and probably plays a bigger role in detecting second primary tumors and follow up ,5.Ultrasound with simultaneous fine needle aspiration cytology is probably the most accurate method to date in staging the neck, but requires skill and solid ultrasound and cytology knowledge to reach good levels of accuracy .Currently there is thus no accurate way of determining the presence of occult lymphatic metastasis for cancers of the head and neck. It is clear that the gold standard for detecting involved lymph nodes is accurate pathological analysis of the nodes. This is traditionally done in a retrospective manner by sending the neck dissection specimen for analysis. In the normal pathological processing there is a possibility to miss micro metastases as the specimens are not as accurately examined as with a sentinel node protocol. In such a protocol stepwise serial sectioning as well as immunohistochemistry will be able to find occult microscopic deposits that would be missed with routine pathology examinations .Many factors determine the propensity of a tumor to disseminate its cells to spread via the anatomical lymphatic system. Tumor cell motility as well as lymphatic vessel density is factors that may contribute to the enhanced spread along lymphatic pathways .The principle of sentinel lymph node (SLN) identification and biopsy is to identify the first station of drainage of a particular anatomical area in which the tumor lies ,10.SLN detection was first used in other anatomical areas like the breast and soon skin cancer as well as gastric cancers followed. In many centers SLN detection has become standard clinical practice.Benefits for the patients are the more selective removal of the first drainage lymph nodes from a particular anatomical site with lower morbidity and by closer histological examination of the nodes a higher detection rate of micro metastasis is possible.The anatomical basis of head and neck cancer nodal drainage has been well established and is in use on a daily basis . On thisSLN identification and biopsy has increased its role in detection of the first nodal drainage in an attempt to either limit surgical damage, or to more accurately stage the patient by more accurate examination of the sentinel node or nodes. Koch et al (1998) was the first to describe the use of technesium-99 m (99T cm) labeled sulfur colloid in the quest for accurate sentinel node biopsy .The use of lymphoscyntography with 99T cm colloid as well as a following SLN biopsy with possible concurrent blue dye injection can be regarded as the current gold standard with regards to identification of the SLN . With thThe use of ICG in the diagnosis of SLN in areas other than that of the head and neck region has well been described. Reports of its use in gastric, breast, lung as well as skin cancer are found in the literature with good success -22A total of 8 Patients with oropharyngeal head and neck cancer and N0 neck status and where resection of the primary tumor as well as a neck dissection was planned were used to evaluate the use of ICG in the identification of the sentinel lymph node. Only unilateral elective neck dissections were performed according to the clinical indication. In no way was the treatment of the patients altered or influenced by the additional use of ICG or sentinel node detection. Patient's informed consent was obtained before surgery.\u00aeICG-Pulsion, Pulsion medical Systems AG, Germany)is supplied as a sterile, water-soluble powder dye was then directed to the cervical area within 3-5 minutes and an attempt was made to identify the sentinel lymph node. alone or in combination with methylene blue is probably the most widely used as it allows one to quantify the radioactivity picked up on the gamma probe and further to have a pre operative picture of the identified SLN. Injection of 99 mTcSC around the primary tumor site is performed at least 2 hours before or even the afternoon before surgery the next morning. The injection is reported to be painful as local anesthesia in the vicinity should be avoided. Another advantage is the possibility to perform a scintigraphy beforehand to identify and localize the SLN before surgery. This may be of great help where the SLN isolated in an unexpected area.Technesium 99 labelled sulfur colloid : Indocyanin Green; (SLN): Sentinel lymph node; (SNB): Sentinel Node Biopsy; (IHC): Immuno histochemistry.The authors declare that they have no competing interests."}
+{"text": "Skin and soft tissue infections are increasingly prevalent clinical problems, and it is important for health care practitioners to be well trained in how to treat skin abscesses. A realistic model of abscess incision and drainage will allow trainees to learn and practice this basic physician procedure.We developed a realistic model of skin abscess formation to demonstrate the technique of incision and drainage for educational purposes. The creation of this model is described in detail in this report.This model has been successfully used to develop and disseminate a multimedia video production for teaching this medical procedure. Clinical faculty and resident physicians find this model to be a realistic method for demonstrating abscess incision and drainage.This manuscript provides a detailed description of our model of abscess incision and drainage for medical education. Clinical educators can incorporate this model into skills labs or demonstrations for teaching this basic procedure. Staphylococcus aureus infections.[Skin abscesses are commonly encountered clinical problems, and the incision and drainage of an abscess is a treatment that is often performed in both emergency and outpatient practice settings. The goal of this project was to develop a model of abscess incision and drainage for educating clinicians about this minor surgical procedure. The importance of educational models for this procedure is evident in the recent resurgence of skin infections and abscesses associated with community acquired methicillin-resistant fections.,2 While fections.-5Our abscess model was developed in the human anatomy lab at our medical school using a donated human cadaver. The use of fresh cadaveric specimens without traditional preservatives allowed manipulation of dermal structures in a life-like fashion. Areas of erythema on the skin were often already present but were also simulated by application of a lipstick moulage.Tapioca pudding was diluted 30% with water to simulate purulent material for the abscess contents. Tapioca pudding was the appropriate consistency and color with individual particles to accurately simulate purulent abscess contents. Initial attempts to create a subcutaneous abscess with this simulated purulent material were unsuccessful as intradermal or subcutaneous injections rapidly diffused under the skin and did not create localized collections to correctly simulate an abscess.A Word catheter , was idein situ using subcutaneous tunneling from a distant incision site [see Figure This filled catheter was surgically implanted into the cadaveric skin The size and firmness of the abscess was varied by changing the amount of simulated purulent material that was injected into the catheter, and this created a realistic model ready for an incision and drainage procedure. Draping of the area allowed for concealment of the incision site and the terminal end of the Word catheter to enhance the realistic appearance of the model, and the model was then used to practice incision and drainage [see Figure Digital video and still photography was used to demonstrate appropriate techniques for the incision and drainage procedure [see Figure The effectiveness of this model as a realistic way to demonstrate key components of the incision and drainage procedure was evaluated by creating a multimedia video presentation using this model. This vidThis project developed a model for incision and drainage of skin abscesses to teach clinicians this important clinical procedure. This model is realistic, which is demonstrated by physician review and the use of this technique to create a peer-reviewed and published teaching video. TeachingWhile the realism of our model is evident in the video and still photographs that have been produced using these methods, use of tThe authors declare that they have no competing interests.All authors participated in the conception, design, and implementation of the abscess model. MTF drafted the manuscript and all authors participated in the writing and revising of the manuscript. All authors read and approved the final manuscript.The pre-publication history for this paper can be accessed here:"}
+{"text": "Bronchial dehiscence in lung transplantation is still a significant and threatening cause ofmorbidity, even if several progresses have been made in this field. In the present report wediscuss a case of incomplete dehiscence of the right bronchial anastomosis in a patient whounderwent sequential double lung transplantation for bronchiectasis. This complication hasbeen successfully treated with endobronchial stent positioning, with the aim to allow thehealing of the anastomosis around a rigid endobronchial support and to prevent the airwaystenosis. The usefulness of 3D spiral CT reconstruction of bronchial tree is also underlined,for its capacity to detect the dehiscence and to monitor the healing of this complication."}
+{"text": "Clonogenic survival of HeLa, Chinese hamster and HaK cells after treatment with a range of cisplatin concentrations and exposure times was determined and cellular platinum concentrations were measured by PIXE. It was demonstrated that cisplatin cytotoxicity of the three cell lines varied considerably as a function of drug exposure dose. These differences are related to differential cellular drug uptake."}
+{"text": "Numerous case-control studies have suggested a link between the oral contraceptive pill and liver cancer. The secular trends in liver cancer mortality rates for England and Wales from 1975 to 1992 were examined to determine whether an effect of the pill was apparent. Liver cancer mortality has remained constant in women in the age groups that have had major exposure to the pill."}
+{"text": "The behaviour of the normal epidermis of mice on the first 5 days of exposure to a single application of carcinogens and cocarcinogens has been investigated by simple quantitative measurements of cell population, size of cells and thickness of the epidermis. Irritant substances and promoting agents both produce cellular hypertrophy but the respective responses can be distinguished by the much greater incidence of degenerate cells associated with irritant treatment. Urethane treatment is characterized by induction of a transient hypoplasia which is not in agreement with the level of cellular division. This response has also been demonstrated after treatment with mild carcinogens or low doses of potent carcinogens. Higher dose levels are followed by a reduction in the mitotic index after about 27 hours. The possibility of developing a preliminary screening test for carcinogenic substances is discussed in the light of these observations."}
+{"text": "In confirmation of other studies it has been shown that antibody directed against the tumour specific transplantation-type antigens (TSTAs) cannot be detected in rats with a tumour growing intramuscularly but appears within a few days after excision of the tumour. Circulating antibody is found in the serum of rats with lymph node metastasis following excision of the primary. Absorption by the intramuscular tumour of circulating antibody does not account for the absence of antibody since the antibody levels in thoracic duct lymph in rats with tumours in the leg are also very low and rise rapidly after tumour excision. Antibody is released by the draining nodes directly into the lymph and must pass through the thoracic duct before entering the blood. Under these conditions low levels of antibody activity in lymph cannot be ascribed to absorption by the tumour.It is postulated that TSTA is released from the tumour into the lymph. Following injection of tumour cells into immunized rats the level of antibody falls and this is attributed to release of TSTA from the injected cells. The possible role of antigen release from tumours in determining the host reaction to the tumour is discussed."}
+{"text": "A substance capable of inducing tumour cell aggregation, which is supposed to be a glycoprotein showing noncytotoxicity, was separated from rat ascites hepatoma cells and partially purified by chromatography. Adhesiveness of rat ascites hepatoma cells induced by this substance was characterized by gradual development of known binding structures during a period of 24 h after contact with the substance; simple apposition and intermediate junctions developed in the early stage, and desmosomes and focal tight junctions in the later stage. It was assumed that the substance might be involved in the development of such binding structures as a triggering mechanism of tumour cell adhesiveness."}
+{"text": "Hydatid disease is caused by the larval stage of the cestode, Echinococcus granulosus. Man is the intermediate host in its life cycle. The most common organ involved is liver followed by lung. Although surgery remains the definitive treatment for symptomatic lesions, it is associated with considerable morbidity. Other less invasive treatment strategies as an adjunct to medical treatment that have been tried in various case series include percutaneous aspiration, instillation and reaspiration of scolicidal agents (PAIR), and thoracoscopic removal of cysts located subpleurally. Here we report the case of a 58 year old gentleman with hepatic and pleuropulmonary hydatid disease who was subjected to medical thoracoscopy and instillation of hypertonic saline (3%), followed by medical management with albendazole with which complete resolution of the pulmonary cysts was achieved. A 58 year old male working in Saudi Arabia in an aquarium shop for more than 15 years was referred to our institute with complaints of breathlessness and vague abdominal discomfort of 8 months duration with worsening dyspnea and cough with scanty mucoid expectoration 1 month prior to admission. At his workplace, he had contact with aquatic creatures in the shop in which he was working. There was also occasional exposure to cats which was imported for sale and distribution to nearby places. The patient denied any addictions and there were no significant past medical or surgical illness. At the time of admission he was comfortable at rest, vitals were stable and respiratory system examination revealed features of left sided hydropneumothorax. Examination of other systems was within normal limits. Complete blood count, random blood sugar, renal and liver function tests were all normal. Chest X-ray taken at the time of presentation revealedMost of the case reports regarding hydatid lung disease published from India are from the northern states where it is relatively common. Similar case reports are scarce from southern regions. Also thoracoscopic instillation of scolicidal agents in the treatment is reported only in a few case series, although percutaneous aspiration, instillation and reaspiration (PAIR) is commonly employed for treating hepatic hydatid cysts. Sarai et al68The use of minimally invasive technique like medical thoracoscopy under conscious sedation in the management of pulmonary hydatid located in the subpleural region as well as those with pleural complications seems promising and needs to be promoted in those patients who refuse surgery or in whom surgery is contraindicated due to various reasons. However, it should be stated that the optimum management of asymptomatic cysts which are diffusely distributed in thorax (that are difficult to access by thoracoscopy) as well as in liver remains controversial and poses challenge to the treating clinician. A trial of prolonged treatment with albendazole may be tried as in our case which could be fruitful in certain cases."}
+{"text": "The effect of the anabolic steroids nandrolone decanoate and oxymetholone on the peripheral blood haemoglobin, total leucocyte and platelet counts was studied in a controlled trial in which patients received standardized chemotherapy for one form of malignant disease. The results indicate that these agents have no protective effect on bone marrow suppression during cytotoxic chemotherapy. It was observed that the time interval between the initial nadir total leucocyte count and the return to pre-treatment values in those patients receiving the anabolic steroids was significantly shorter than in the control group."}
+{"text": "We present a tool for tracking coronary vessels in MRIscans of the human heart to aid in the screening of heartdiseases. The vessels are identified through a single click insideeach vessel present in a standard orthogonal view. The vesselidentification results from a series of computational stepsincluding eigenvalue analysis of the Hessian of the MRI imagefollowed by a level set-based extraction of the vessel centerline.All identified vessels are highlighted using a virtual contrastagent and displayed simultaneously in a spherical curvedreformation view. In cases of over segmentation, the vessel tracescan be shortened by a click on each vessel end point. Intermediateanalysis results of the vessel computation steps can be displayedas well. We successfully validated the tool on 40 MRI scansdemonstrating accuracy and significant time savings over manualvessel tracing."}
+{"text": "Karyotyping and marker analysis of G- and C-banded metaphases from a metastatic bronchial carcinoma revealed a dominant stemline with five markers and four sidelines with additional markers. One to three minute bodies were noted in the majority of cells and these were classified as markers. On the basis of this analysis it was possible to postulate an evolutionary pathway within the tumour whereby the stemline was derived from existing sidelines."}
+{"text": "These observations are relevant to current proposals for adjuvant immunotherapy of human malignant disease where conditions of minimal residual disease are not being fulfilled.Growth of syngeneic transplants of a 3-methylcholanthrene induced rat sarcoma was suppressed when tumour cells were injected in admixture with BCG. Rejection of these mixed inocula resulted in the suppression of growth of a simultaneous challenge with cells of the same tumour at a contralateral subcutaneous site and conditions for immunotherapy were evaluated with respect to the maximum tumour cell challenge rejected and the optimum time of treatment. These studies established that viable tumour cells were more effective than radiation attenuated cells for the immunizing stimulus. Also, the maximum tumour challenge totally rejected in this way was of the order of 10"}
+{"text": "Antisera to extracts of a variety of bronchogenic carcinoma were raised in rabbits and extensively absorbed with immunoadsorbents prepared with normal lung extracts cyanogen bromide linked to Sepharose 4B, and glutaraldehyde insolubilized normal lung extracts. The antisera were tested by immunodiffusion against a panel of extracts from a variety of bronchogenic carcinoma, foetal lung extracts and pools of normal lung extracts. The results indicate that two distinct antigenic components are associated with bronchogenic carcinoma; one which is present in a high percentage of the tumour extracts tested and appears to have partial identity with a foetal lung component, and one (or more) which is not foetal and appears to have higher cross-reactivity (but not exclusively) with tumours of the same pathological type. Attempts to detect either antibody or antigens relating to these components in the serum of patients with bronchogenic carcinoma by these techniques were unsuccessful. The foetal cross-reacting component was neither carcinoembryonic antigen and alpha1-foetoprotein."}
+{"text": "The Proteomics Standards Initiative (PSI) aims to define community standards for data representation in proteomics and to facilitate data comparison, exchangeand verification. Initially the fields of protein\u2013protein interactions (PPI) and massspectroscopy have been targeted and the inaugural meeting of the PSI addressed thequestions of data storage and exchange in both of these areas. The PPI group rapidlyreached consensus as to the minimum requirements for a data exchange model; anXML draft is now being produced. The mass spectroscopy group have achieved majoradvances in the definition of a required data model and working groups are currentlytaking these discussions further. A further meeting is planned in January 2003 toadvance both these projects."}
+{"text": "Two hundred and ninety-nine oral leukoplakias were examined by exfoliative cytology; 83 of these lesions were biopsied because of clinical or previous histological features. Epithelial atypia was found in 16 of these biopsies, exfoliative cytology detecting epithelial atypia in only 6 of these cases. Thus exfoliative cytology used alone would have led to a false negative diagnosis in 10 out of 16 (62%) of the cases with epithelial atypia verified by histology. In addition, in no instance was exfoliative cytology responsible for the detection of an epithelial atypia that had been overlooked by consideration of clinical or previous histological features. Exfoliative cytology was successful in the detection of atypia only in those cases in which the surface of the lesion was either ulcerated or not keratinized; all keratinized lesions with atypia yielded negative cytology. The results of this study lead to the conclusion that exfoliative cytology is not to be recommended as a routine diagnostic or screening procedure for the detection of possibly pre-malignant features in oral leukoplakias."}
+{"text": "Two cases of portal hypertension due to hydatid cysts of the liver are reported. In one of the patients,symptoms were secondary to obstruction of inferior vena cava and hepatic outflow tract. The other patientwas operated on with a diagnosis of extrahepatic presinusoidal portal hypertension caused by extrinsiccompression of the liver by an hydatid cyst. Although hydatidosis is a benign disease, it can produce seriouscomplications as in these reported cases. Therefore hydatidosis should be remembered amongst the causes ofportal hypertension in countries where the disease is endemic."}
+{"text": "The effects of various chemotherapeutic agents on alpha-fetoprotein (AFP) secretion and growth of human hepatocellular carcinoma and hepatoblastoma cell lines were investigated in vitro. It was found that there was a high correlation between hepatoma cell number and AFP secretion after treatment and that the amount of AFP secreted per cell per 72 h was not affected with therapeutically achievable concentrations. These results suggest that serum AFP level in patients with hepatomas does not correlate with the size of whole tumour but with that of viable tumour mass, and that AFP-secreting capacity of tumour cells in the mass is kept unchanged after chemotherapy."}
+{"text": "Exposure to the fibrous mineral erionite is known to induce mesothelioma in man and laboratory animals. Previous studies demonstrated the presence of a trypsin-like protease associated with tumour cells. This protease could be demonstrated by the use of fluorescent probes which located cells possessing this enzyme. We have employed this fluorescent probe technique to follow the early events in the lungs of rats exposed to erionite. The evidence presented shows that the mesothelial cells initially lack this enzyme but the enzyme can be detected within hours of exposure of the rat to erionite. The number of mesothelial cells possessing the enzyme steadily increased after a single exposure to the mineral until the animal finally died with a massive pleural tumour. This is the first study of such fluorescent probes in the early stages of tumour induction."}
+{"text": "Healthy Schools programmes may assist schools in improving the oral health of children through advocating a common risk factor approach to health promotion and by more explicit consideration of oral health. The objectives of this study were to gain a broad contextual understanding of issues around the delivery of oral health promotion as part of Healthy Schools programmes and to investigate the barriers and drivers to the incorporation of oral health promoting activities in schools taking this holistic approach to health promotion.Semi-structured telephone interviews were carried out with coordinators of Healthy Schools programmes in the Northwest of England. Interview transcripts were coded using a framework derived from themes in the interview schedule.All 22 Healthy Schools coordinators participated and all reported some engagement of their Healthy Schools scheme with oral health promotion. The degree of this engagement depended on factors such as historical patterns of working, partnerships, resources and priorities. Primary schools were reported to have engaged more fully with both Healthy Schools programmes and aspects of oral health promotion than secondary schools. Participants identified healthy eating interventions as the most appropriate means to promote oral health in schools. Partners with expertise in oral health were key in supporting Healthy Schools programmes to promote oral health.Healthy Schools programmes are supporting the promotion of oral health although the extent to which this is happening is variable. Structures should be put in place to ensure that the engagement of Healthy Schools with oral health is fully supported. The World Health Organisation (WHO) advocates using Health Promoting Schools/Healthy Schools (terms used interchangeably in this paper) to promote general and oral health ,2. HealtWHO guidance on Health Promoting Schools has been translated into policy in many countries. In England, the National Healthy Schools Programme (NHSP) provides strategic leadership to local Healthy School programmes (LHSPs) by endorsing a whole-school approach focused on common risk factors (CRFs); risk factors such as diet, tobacco and exercise, which are shared by the major non-communicable diseases . CurrentThe NHSP requires schools to achieve 'Healthy School' status by addressing the CRFs through focusing on four strands :Personal, Social & Health Education \u2022 Healthy Eating\u2022 Physical Activity\u2022 Emotional Health & Wellbeing\u2022 Oral health is not discussed within the NHSP, although the English oral health strategy suggests that oral health should be promoted using the CRF approach within settings such as Healthy Schools . LHSPs mA recent study in Scotland reported an association between Healthy School status and twice-daily toothbrushing for some children attending Healthy Schools in deprived areas . The autA study in Brazil has also reported oral health benefits for children attending schools engaging with the Health Promoting Schools philosophy . Schoolshow the Healthy Schools programme translates into interventions influencing oral health. Therefore the research questions being addressed were:Whilst these studies point towards Healthy Schools having a positive impact on oral health, nothing is known about What are the areas of the Healthy Schools programme which might impact on oral health? To what extent are these areas pursued within Healthy Schools programmes in the North-West of England? What are the barriers and drivers to the incorporation of oral health promoting activities within Healthy Schools programmes?Approval to carry out the study was obtained from the Central Office for Research Ethics Committees (COREC) (06/MRE/63), the Department of Health and employers of participants.. Each region of the NHSP consists of several LHSPs that operate as partnerships between local education and health agencies. Coordinators of the 22 LHSPs in the North-West of England were identified as key informants for this study. These individuals have responsibility for managing LHSPs and as such, were considered to have the potential to provide both strategic and practical insights for the current study.The English NHSP is organised into 9 regions. The North-West region incorporates 2 large conurbations and some rural areas. Parts of the North-West region are among the most deprived areas in England, others are among the most affluent A qualitative rather than quantitative study design was selected because of the lack of previously reported data in this field. Semi-structured interview rather than focus group methodology was selected because of the difficulty in arranging for the participants to gather in one place. Interviews can also assist respondents in speaking freely . The intOral health promoting activities suitable for incorporation into the NHSP were identified from a literature search, followed by consultation with a range of senior personnel working in the field of dental public health by means of a questionnaire. A panel with expertise in the field of oral health promotion (OHP) reviewed the activities identified and thus finalised the interview schedule Table .The schedule contained questions around three themes:A. The concept of promoting oral health as part of Healthy SchoolsB. The delivery of OHP in Healthy SchoolsC. Drivers for oral health to be promoted as part of Healthy SchoolsCoordinators of the 22 LHSPs in the Northwest of England were mailed to invite them to participate and to give them information about the study. Participants who did not reply were contacted by telephone and/or email to establish whether they were willing to take part. All 22 LHSP coordinators consented to participate in the study. Participants were assured that their responses would be anonomised. Interviews were audio-taped and transcribed.A coding framework based on the themes in the interview schedule was designed. Transcripts were examined manually to identify codes using thematic content analysis and a system of constant comparison ,14. ThisThis study referred to qualitative research review guidelines to ensure its quality . SystemaAll the respondents felt that it was appropriate to promote oral health within Healthy Schools. All respondents placed OHP within the Healthy Eating strand of the NHSP. Six respondents also recognised the appropriateness of locating OHP within other strands of the programme:(numbers in brackets after each quote refer to the participant)'it goes hand in hand with the Healthy Eating standard' (9)'It's also an important part of the emotional health and ... the sex and relationship education' (22)All respondents felt that oral and general health were linked. Three participants conceptualised oral health as an indicator of general health:'the health of the gums etc is an indicator in terms of heart disease' (11)Other respondents felt that there was no distinction between oral and general health for the purposes of promoting oral health within Healthy Schools. There was also recognition that oral health had historically been separated from general health, but that it should now be included as part of general health, and the Healthy School approach was therefore a positive thing in this context:'I think the key thing is ... the linkage. Oral health has sat on its own for so long' (9)Eight participants gave schools or school nurses the responsibility for OHP, others felt that the responsibility lay solely with specialist OHP teams or jointly between Healthy Schools teams, schools and OHP teams:'it's part of what schools teach young people' (10)'It's got to be a partnership thing' (12)Many respondents acknowledged the necessity for the involvement of personnel with specialist oral health expertise.This code categorised oral health promoting activities within the main strands of the NHSP.All participants reported that schools addressing healthy eating as part of their Healthy Schools work were expected to have a healthy eating policy and to be acting on that policy. Irrespective of engagement with Healthy Schools, all schools were expected to conform to minimum nutritional standards . There wFormal oral health education and education about alcohol and tobacco fall within the PSHE strand . Although participants did not tend to make unprompted links between tobacco and alcohol and oral health, once prompted they were aware of the relevance of targeting these areas to promoting oral health. Tobacco interventions were being directed through national legislation e.g. The Smoke-free (Premises and Enforcement) Regulations (2006), as well as through Healthy Schools. Healthy Schools programmes required schools to have policies covering tobacco, alcohol and drugs. School interventions and education around these topics were more variable with some participants reporting smoking cessation workers visiting schools. In other areas schools-based smoking cessation was viewed as being inappropriate because it was felt that smoking cessation should be instigated by an individual's desire to quit.Nine respondents recognised the relevance of oral health to this Healthy Schools strand:'there's a very nice project ... about the effect of your teeth on your whole face, and your own personality ... that's about self-esteem as well' (11)Respondents were asked about two aspects of physical activity that could prevent oro-facial trauma: the use of cycle helmets and sports mouthguards. Cycle helmets were commonly being promoted either directly by the LHSP, or by their partners. Sports mouthguards were less commonly promoted and one respondent raised concerns raised about the appropriateness of promoting mouthguard use:'because of the chance of choking' (16)This code related OHP activities to the five core features of a whole school approach.Participants were generally positive about oral health being taught within schools, with most expressing that it should be taught either within PSHE or science. Not all participants were aware of precisely what was taught in relation to oral health. Some respondents expressed concerns about timetabling constraints.The physical environment of the school has the potential to impact on oral health because of its links to health and safety, accident prevention and emotional health and wellbeing. The extent to which it was being considered differed between localities. Some areas considered the physical environment of their schools as an area for schools to address after they achieved 'Healthy School' status. Others conceptualised assessing the physical school environment either as a part of ensuring that schools were using the whole school approach or as linked to the emotional health and wellbeing strand of the NHSP.All the participants except one were unaware of schools in their area having specific oral health policies; it was generally felt to be more appropriate that references to oral health should be embedded within more general policies:'it's also explicit in in you know the whole school food policy which we've modelled for them ...erm which which sort goes through ... DMFT figures ... so its sets the context of ...why it is important about healthy eating' (18)Pupil participation may impact on oral health through promoting psychological health and wellbeing. In one area pupil participation was being used to promote oral health specifically:'we ... use some of the older children to be peer educators ... we've trained the children ...and they then have gone to work with some of the nursery children' (11)Involving parents and staff in Healthy School programmes is a vital part of the whole school approach. Parents were more commonly involved in OHP in the primary than the secondary sector:'we're ... trying to educate parents of primary school children ... we emphasize that a lot more ...than we do with secondary children' (10)This code described the resources, personnel and partners involved in the delivery of OHP.Personnel involved with OHP in Healthy Schools sometimes included individuals working as core members of local Healthy Schools teams. In the majority of areas personnel also included people working for partner agencies such as OHP teams, local sports partnership teams, school nurses and drug education teams. OHP teams are generally dental nurses, hygienists, and therapists trained in oral health education and employed by the local salaried dental service. Only one participant reported that the LHSP was not working in partnership with an OHP team. The role of local OHP teams varied considerably between areas:'the OH team come in and run a programme ... supporting the curriculum ... they've done something in terms of leaflets on resetting teeth, if they've been knocked out they ... support the work right throughout all Key Stages' (16)'they do like puppet plays as well ...around the theme of OH' (4)In one area, the issue of expertise was addressed differently; the Healthy School team had recognised that they had more expertise about delivering interventions in schools than the local OHP team. They worked with the OHP team to ensure that OHP messages were provided in the most appropriate ways:'oral health were working ... quite independently of us .... they were too focused on oral health ... there was actually a jarring happening so that when Health Promoting Schools were going in as well ... it was beginning to be seen as a bit of a nanny state .... so what we decided to do was because we had more expertise about delivering in schools ... is to make the health messages education friendly ... we started working more closely with oral health ... one of their workers actually joined our team ' (22)OHP interventions were sometimes targeted to either the primary sector and/or to those schools with the worst dental health. One reason for targeting the primary sector related to lack of uptake by secondary schools although other areas targeted the primary sector because of the perceived importance of establishing healthy behaviours at a young age.This code described challenges identified in promoting oral health in Healthy Schools.This problem emerged in relation to schools being able to choose the extent to which they engaged with their local Healthy Schools programme or with OHP interventions:'all our schools are signed up, it doesn't necessarily mean they're doing anything' (2)Seven respondents discussed that lack of expertise was a challenge in delivering OHP:'we don't go into the secondaries ... we haven't got enough medical knowledge' (22)Many of the challenges in delivering OHP in Healthy Schools discussed by participants were logistical:'if you give them water in classes, they'll just mess about with it' (10)Participants noted that there was evidence of mixed messages occurring in schools, for example with unhealthy food being served at some school events.The problem of outside vendors (ice cream vans at the school gates etc) was common to several localities. There was evidence of work going on to address the issue in six areas, by involving vendors themselves, trading standards and/or environmental health. Participants expressed a wish for guidance on this issue.The low profile of oral health was discussed by twelve respondents as a potential barrier to promoting oral health in Healthy Schools. Interviewees cited the exclusion of oral health from National Healthy Schools guidance, although they did recognise that oral health may be promoted as part of the CRF approach, despite the lack of national guidance:'it's hard because there's no specific reference to it within Healthy Schools ... at the moment the focus is on Healthy Schools status' (2)'it's almost implicit in the healthy eating work that you do. I don't think it's perhaps given as high a priority as it might do' (18)There were also comments made relating to the low profile of oral health on the local agenda:'oral health hasn't been targeted as a priority this time' (2)Respondents were also unsure if schools would make the link between Healthy Schools and oral health and recognised that this may depend on circumstances within individual schools.Problems identified specific to the secondary sector included accessing parents, engaging schools and the tight curriculum.Seventeen participants considered that oral disease in their area was a problem:'we've got the worst OH erm data in the country' (8)A few respondents did not think that oral disease was a local problem or recognised that although local levels of oral disease were high, the problem had not been prioritised:'as far as I'm aware it isn't' (19) 'it hasn't been deemed to be (a priority), .... that's not saying that it isn't' (2) In some areas oral health was a local priority:'we've specifically said good practice is linked to dental health' (15)Respondents were unaware of the existence of any national strategies or directives that would support the promotion of oral health as part of Healthy Schools:'we've not got any sort of directives, not sort of nationally' (17)Historical ways of working emerged from the data as a way to explain how many local Healthy Schools programmes had come to be so involved with oral health:'we've always done it in this area' (17)Recent evidence of an association between periodontal disease and systemic diseases such as coronary heart disease and diabetes , has broWhen interpreting the data generated from evaluations of health promotion interventions it is difficult to disentangle the intervention being studied from other interventions . In the Care is necessary in extrapolating the results of this study to wider national and international contexts. However, there is no evidence that the North-West region is different from other English Healthy School regions, in the way in which its Healthy Schools programmes engage with OHP. Further, because local Healthy Schools programmes work within the NHSP framework and towaResults showed that some Healthy Schools programmes were relying largely on the promotion of oral health through the CRF approach, whilst others were more explicit in promoting oral health. Explicit OHP tended to be related to historical ways of working, and often involved input from local OHP teams using dental personnel. In some areas OHP teams were offering specific schools-based interventions. In other areas, OHP teams were more involved in providing advocacy and training, roles which have been recommended for oral health experts working within general health promotion frameworks -25. The OHP was most often related to the healthy eating and PSHE strands of the NHSP. Whilst it is easy to envisage the positive impact of the promotion of healthy eating within the school on levels of dental caries, it is more difficult to see how Healthy Schools programmes might impact on levels of toothbrushing, as indeed they appear to . It is wlocal Healthy School coordinators seem to have made linkages between Healthy Schools and oral health, Healthy Schools policy makers at a national level have excluded oral health from guidance. National guidance on OHP in Healthy Schools would legitimise the promotion of oral health in Healthy Schools and secure its future against the threats identified by participants in this study. The authors suggest a national document based on the WHO publication on OHP in Health Promoting Schools [The integration of OHP within Healthy Schools programmes was occurring despite participants' lack of awareness of international and national guidance in relation to oral health ,8. Curre Schools . The autThe authors declare that they have no competing interests.ES designed the study, carried out the fieldwork and drafted the manuscript. CMP and RVH assisted in the design of the study and advised on the preparation of the manuscript. All the authors read and approved the final manuscript.The pre-publication history for this paper can be accessed here:"}
+{"text": "Journal of Experimental and Clinical Cancer Research although this article had been accepted and previously published by Cancer Biotherapy & Radiopharmaceuticals [Nucleosides, Nucleotides and Nucleic Acids [Journal of Experimental and Clinical Cancer Research. The authors are deeply sorry for any inconvenience this may have caused to the editorial staff and readers.The corresponding author submitted this article to Journeuticals . The artic Acids . Since i"}
+{"text": "This is the first report of a case-control epidemiological study on lymphomas and leukaemias occurring in Yorkshire during 1979-84. This paper deals with the results of the Hodgkin's disease analysis comprising 248 cases and 489 controls. The results indicate support for previous work with respect to small family size and past history of infectious mononucleosis. Positive observations made in a previous pilot study are also confirmed and extended with respect to associations with certain chronic skin lesions, dental anaesthesia and familial factors. Negative associations are described with respect to X-ray exposures and cigarette smoking. It is proposed that these results fit into a general hypothesis that these conditions are the result of interaction between infectious agents and altered immunity in those persons genetically predisposed."}
+{"text": "The risk of nodal metastasis is higher in women with bigger breast. It is not clear if this increase is due to the size of the breast (largely related to obesity) or is the result of larger tumour size at presentation (due to delayed diagnosis). It is hypothesised that women with large breasts are more likely to have node positive disease mainly attributable to their breast size.\u00ae computer programme.One hundred and twenty consecutive patients who underwent mastectomy during the year 2004 and 2005 for primary breast cancers in a large Teaching Hospital were included in the study. Patient's variable and tumour variable were collected and analysed by SPSSIt was found that big breasted women (those patients with mastectomy weight greater than 800 g) had a significantly greater tumour size than those with smaller breasts but there was no significant difference in grade or lymph node positivity between the two groups. Although, the tumour size was significantly greater in those with lymph node metastases (p < 0.001) but mastectomy weight was not found to be significantly greater in those with lymph node metastases (p = 0.11). For patients with similar tumour sizes mastectomy weight was not significantly greater in those patients with lymph node metastases (p = 0.28).It is concluded that increased incidence of lymph node positivity at presentation big-breasted women is because of larger size of the primary tumour and not due to the size of the breast alone. The present literature on the large size of breast and the stage of breast cancer is controversial. The larger size of the breasts is more common in obesity which is associated with poor prognosis of breast cancer in both pre and postmenopausal women. It is aOne hundred and twenty primary breast cancers operated at a large Teaching Hospital were included in the study. These were consecutive patients who underwent mastectomy during the year 2004 and 2005. Patient's variable and tumour variable were collected and analysed by SPSS computer programme.Spearman correlation was used to measure association between continuous variables, the Mann Whitney test for the comparison of continuous variables between two groups and Kendall's tau-b statistic to analyse ordinal variables such as grade and lymph node positivity. Binary logistic regression analysis was used to determine whether, for patients with similar tumour sizes, mastectomy specimen weight was a significant predictor of the presence of lymph node metastases.A large breast was defined as a breast with mastectomy specimen weight of 800 grams or more. It was found that increasing weight of the mastectomy specimen was associated with increasing risk of large tumour . The tumour size was significantly greater in those with mastectomy weight greater than 800 g have larger tumours reported that patients with bigger breasts had larger tumours in both symptomatic and screen detected group . In a laIt is concluded that Increased lymph node positivity at presentation of breast cancer in big-breasted women is because of larger size of the primary tumour and not due to the size of the breast alone.ARC conceived the idea and coordinated the data collection and analyses, participated in all stages of the study and drafted the manuscript, CS collected the data and PN participated in the performed the statistical analysis. All authors read and approved the final manuscript."}
+{"text": "The expectant management of high grade renal injuries in hemodynamically stable children has gained increasing acceptance amongst paediatric surgeons. However, patients with grade 1V injury with complete renal transection have been identified as a subgroup with a poor outcome that may benefit from early operative intervention.Interestingly, both internal and external drainage have been independently utilised as part of the expectant approach. The former is more widely practiced and was first suggested by Haas et al who used it successfully in 5 patients with grade 1V renal trauma. Yet to be clearly established in this context is the value and timing of external drainage, particularly, when used in combination with internal stenting.Described is a child with complete renal transaction who was successfully managed with a combination of internal and external drainage. A 5 year old Caucasian male patient was admitted to a tertiary paediatric surgical centre within 1 hour of coming off a quadbike, sustaining blunt trauma to the right chest and the right upper quadrant of abdomen. Initial assessment confirmed hypovolaemic shock which responded to aggressive resuscitation as well as a tender right flank with macroscopic haematuria. Once stabilised a Computarised Tomography (CT) scan and IVP were performed which confirmed contusion of the right lower lung, fracture of several overlying ribs and complete right renal fracture with distraction of upper and lower poles (Grade1V), scan Fig The kidneys in children are proportionally larger and have much less perirenal fat and costal protection than in adults which predisposes them to injury after blunt abdominal trauma (10% of cases) . Prompt However the management of grade IV renal injury in children is controversial, particularly with regard to the management of urinary extravasation. Grade IV trauma is defined as parenchymal laceration extending through the corticomedullary junction and into the collecting system . This reGrade 1V renal injuries with complete fracture and separation of the poles but with intact blood supply constitutes a special group with a decreased likelihood of spontaneous resolution and where early intervention may be necessary [There is currently no consensus on the optimal timing of these interventions. However from the experience of this case where a policy of early aggressive management with a combination of internal and external drainage was successfully utilised would lead us to support this approach to improve renal salvage. It would appear that reconstitution of the distracted but viable renal poles into a solitary functioning unit is possible provided the urinoma is adequately managed. Successful drainage also ensured that there was no significant residual scarring on late DMSA scanning.The expectant management of isolated high grade renal injuries with complete fracture in the haemodynamically stable patient is evolving and both internal and percutaneous drainage are crucial to the success of this approach. It seems the advances in interventional radiology are facilitating a less invasive approach to the management of these significant injuries in the paediatric population. The experience of this case reinforces a strategy which is leading to kidney salvage with minimal complications and is advocated.Consent was obtained from both parents and the involved institutions for publication of the case report.The authors declare that they have no competing interests.CH prepared the manuscript, MH provided the clinical details of the case, AM managed the case and edited the paper."}
+{"text": "The current guidelines of the European Resuscitation Council (ERC) for advanced cardiac life support recommend that endotracheal intubation \"should be attempted only if the healthcare provider is properly trained and has adequate ongoing experience with the technique.\" One woulWithout adequate skills, not only in intubation but also in the verification of tracheal tube position, following advanced life support guidelines may not be possible without considerable risks for the patients. When German HEMS physicians assessed the tube position in patients who were initially intubated by other emergency physicians, the percentage of oesophageal intubations 6.7%) was unacceptably high . Many of.7% was uWhile the new guidelines of the Scandinavian Society for Anaesthesiologists and Intensive care medicine (SSAI) for prehospital airway management continue to recommend intubation by anaesthesiologists to secure the airway in emergencies, the importance of personal experience and skill level is pointed out as critical, in addition to the fulfillment of formal qualifications . These nConsulting and lecturing fees from VBM and Ambu."}
+{"text": "The serum ferritin concentration is increased in both acute myeloblastic leukaemia and Hodgkin's disease. In acute leukaemia the mean concentration is about ten times the normal level and is associated with a high concentration of transferrin-bound iron. In Hodgkin's disease abnormal ferritinaemia is associated with a low concentration of transferrin-bound iron and appears to result from a block of reticuloendothelial iron release. Increased concentrations of circulating ferritin have also been observed in a few cases of chronic leukaemia and myelomatosis."}
+{"text": "In \"Reframing School Dropout as a Public Health Issue\" , FreudenIt is time to include school dropout rates among the national health objectives for 2010 to the sUniform national measures of school readiness should also be included among current national health objectives and tracked through No Child Left Behind. Such measures would underscore the relevance of children's emotional and cognitive health to academic achievement . It would also provide schools with baselines for assessing students' academic growth, beginning in kindergarten. Most importantly, it would offer a national benchmark for assessing progress toward the national goal of ensuring that every child starts elementary school with the necessary skills to succeed and eventually graduate from high school by age 18.To the list of recommendations cited by the authors for reduEarly childhood interventions are critical to reducing school dropouts over the long term. These programs are highly cost effective and may Read the author's reply"}
+{"text": "The object of this study was to measure some of the differences between normal squamous epithelial cells and cells from invasive squamous carcinoma of the uterine cervix. A total of 107 patients were studied; only those specimens which when assessed by a histopathologist were thought to show classic normal features or undoubted invasive carcinoma were included in the quantitative analysis. In addition, any specimens which at the electron microscope level, showed faulty sampling or preparation were discarded, leaving us with 16 carcinoma and 15 normal specimens for detailed study.The nuclei of tumour cells had a greater area than those of normal cells; histograms of the size distribution of nuclei showed a distinctly different pattern in the 2 groups. Tumour cells had fewer ribosomes in each cubic micron of cytoplasm than had the normal cells and showed a reduction in the amount of intercellular space; in addition, the malignant cells had a smaller surface density and fewer tonofibrils in their cytoplasm. Some tumour cells had a smaller percentage of cell membrane specialized as desmosomes than the corresponding normal cells but all tumour cells had desmosomes of shorter length than normal.Discriminatory analysis, carried out with the help of a computer, allowed all of these variables to be assessed with respect to each other in order to arrive at a numerical score for each specimen. When expressed graphically, these scores showed that the populations of normal and carcinomatous cells fell into 2 separate groups. The significance of these results is discussed."}
+{"text": "The 'unopposed oestrogen hypothesis' for endometrial cancer maintains that risk is increased by exposure to endogenous or exogenous oestrogen that is not opposed simultaneously by a progestagen, and that this increased risk is due to the induced mitotic activity of the endometrial cells. Investigation of the mitotic rate during the menstrual cycle shows that increases in plasma oestrogen concentration above the relatively low levels of the early follicular phase do not produce any further increase in the mitotic rate of endometrial cells. A modification of the unopposed oestrogen hypothesis which includes this upper limit in the response of endometrial cells to oestrogen is consistent with the known dose-effect relationships between endometrial cancer risk and both oestrogen replacement therapy and postmenopausal obesity; it also suggests that the mechanism by which obesity increases risk in premenopausal women involves progesterone deficiency rather than oestrogen excess, and that the protective effect of cigarette smoking may be greater in postmenopausal than in premenopausal women. Detailed analysis of the age-incidence curve for endometrial cancer in the light of this hypothesis suggests that there will be lifelong effects of even short duration use of exogenous hormones. In particular, 5 years of combination-type oral contraceptive use is likely to reduce a woman's lifetime risk of endometrial cancer by some 60%; whereas 5 years of unopposed oestrogen replacement therapy is likely to increase her subsequent lifetime risk by at least 90%; and even 5 years of 'adequately' opposed therapy is likely to increase subsequent lifetime risk by at least 50%."}
+{"text": "An enzyme activity with the characteristics of reverse transcriptase was detected in marrow from patients with leukaemia in relapse and in firm haematological remission. The endogenous enzyme activities increased following culture, and in remission patients the enzyme activities reached levels equal to or exceeding those found in relapse."}
+{"text": "A method of comparing differences in growth rates of tumours in small groups of animals is described. A common slope can be fitted to the growth curves of a given tumour in a group of isogeneic animals. Differences between growth potentials can be demonstrated by comparing the common slope for a given tumour against that of another tumour (or the same tumour at a later stage of development).A highly significant difference is shown between the growth potential of an A-strain mammary carcinoma after 7 or after 28 days' growth in isogeneic animals. Since this increase in autonomy is reflected in the tumour's subsequent growth rate in secondary hosts, it is suggested that it involves adaptation of the tumour rather than progressive immunodepression of the primary host."}
+{"text": "Comparison of the growth of normal bone marrow cells in CDCs and in ADCs suggests that cell proliferation in diffusion chambers may result from the same precursor cell as detected by colony formation in agar culture in vitro. This proposal is supported by the suicide of approximately 46% of the ADC colony precursor cells following incubation with 3H-labelled thymidine.The conventional diffusion chamber (CDC) as described by Benestad (1970) had been modified to assay the colony forming capacity of RFM bone marrow and spleen cells in agar diffusion chambers (ADCs). The colonies are morphologically identical to those formed by the CFUc in agar culture Colony formation by haemopoietic cells taken from leukaemic mice appears to be due to the proliferation of a remaining normal cell population alone, while the leukaemic cells in the inoculum form a background of uniformly distributed blast cells. In the case of leukaemic cell culture, there are differences in the results from CDCs and ADCs, and data from colonies in leukaemic ADC cultures are similar to those from normal ADC colonies. These comparisons imply that the ADC technique may be used to monitor the functional capacity of normal bone marrow, by its ability to form colonies, during the development of leukaemia. A humoral effect of a leukaemic environment on the growth of normal bone marrow cells in ADCs has also been detected."}
+{"text": "We tested the hypothesis that Cache Valley Virus (CVV), an endemic North American bunyavirus, may be involved in the pathogenesis of human neural tube defects. This investigation followed a 1990 and 1991 south Texas outbreak of neural tube defects with a high prevalence of anencephaly and the demonstration in 1987 that in utero infection by CVV was the cause of outbreaks of central nervous system and musculoskeletal defects in North American ruminants. Sera from 74 women who gave birth to infants with neural tube defects in south Texas from 1993 through early 1995 were tested for CVV neutralizing antibody. All tested sera did not neutralize CVV. These data suggest that CVV is not involved in the induction of human neural tube defects during nonepidemic periods but do not preclude CVV involvement during epidemics. Other endemic bunyaviruses may still be involved in the pathogenesis of neural tube defects or other congenital central nervous system or musculoskeletal malformations."}
+{"text": "Histological sections of the primary tumour from 496 women with operable breast cancer have been examined for purposes of histological grading by two observers working independently. Each found a similar distribution of grade through the series, and a virtually identical influence of grade on prognosis. This close agreement occurred despite a 30% disagreement as to grade in individual cases. It is suggested therefore, that this technique while of relevance to analysis of groups of cases is of very limited reliability in individual patient prognosis."}
+{"text": "Although echinococcal disease of the liver is common in some parts of the world, it is rarely seen in theUnited States. Even from endemic areas, few reports deal with its treatment during pregnancy. A 25 year old18 week pregnant Italian woman presented with pruritis and right upper quadrant pain. Ultrasoundrevealed a cystic lesion in the left lobe of the liver. The cyst was treated by operative insertion of hypertonicsaline and capsulorrhaphy. The patient and her fetus had no postoperative complications. We believe thatthe pregnant patient with symptomatic hepatic echinococcal disease should be treated operatively and thatinsertion of hypertonic saline and capsulorrhaphy is the safest and most effective technique for both themother and fetus."}
+{"text": "Anxiety is common in cancer patient populations, and must often initially be recognized and managed by cancer care professionals. This article reviews the recent oncology and mental health literature on anxiety. The aim is to help those involved in cancer patient care who are not specialists in mental health to understand the nature of anxiety, and discriminate morbid from normal anxiety. We review recent research into the association of anxiety with events during diagnosis and management of cancer, highlighting the importance of the meaning of events to an individual as an important factor in making people anxious. Lastly we review management strategies which might be used by cancer care professionals, in particular the importance of an awareness of specific patterns of communication which may alleviate or maintain anxiety for some cancer patients. \u00a9 2000 Cancer Research Campaign"}
+{"text": "Selection of cytostatic agents for intrathecal administration is the subject of this paper.Both the toxic side effects\u2014destruction of blood-brain barrier and change of body weight\u2014and the cytostatic effects on intracranially transplanted Yoshida ascites sarcoma were investigated of intrathecal administration of various cytostatic agents. As a result, it may be concluded that Methotrexate and Endoxan and lower dose of mitomycin C are suitable drugs for intrathecal chemotherapy.Based on these findings, clinical cases of malignant brain tumours were treated with intrathecal chemotherapy.Grateful acknowledgement is made to Professor Dennosuke Jinnai for his constant interest and guidance in this investigation."}
+{"text": "The second edition of Essentials of Dermatology has come out with a new look and high standard of cover page, color illustrations and printing. Three new chapters on skin in systemic disease, skin changes of pregnancy and old age and anti retroviral therapy (ART) have been added giving a wider dimension to its contents. The existing chapters have also been revised and updated to keep pace with newer developments in dermatology.This handbook has incorporated all basic principles of diagnosis of skin diseases and provided a brief update and essential information on disease processes. An algorithmic approach to diagnosis would have added color to it. This brief but essential information on the diseases and high standard color photographs will make dermatology more accessible to new entrants Post Graduate Trainees (PGTs), general physicians as well as senior dermatologists. It is worth carrying, preserving in any library and is also recommended for all sections of the medical fraternity.One may have some reservations regarding selection criteria of most influential persons in Dermatology, Venereology and Leprosy in India but that does not necessarily undermine the quality of the book."}
+{"text": "Baculoviruses are widely used both as protein expression vectors and as insect pest control agents. This video shows how lepidopteran larvae can be infected with polyhedra by droplet feeding and diet plug-based bioassays. This accompanying Springer Protocols section provides an overview of the baculovirus lifecycle and use of baculoviruses as insecticidal agents, including discussion of the pros and cons for use of baculoviruses as insecticides, and progress made in genetic enhancement of baculoviruses for improved insecticidal efficacy. Springer Protocols to learn more about the engineering baculovirus as an insecidical agent and the oral infection techniques used in this assay.Please visit"}
+{"text": "Background: Isolated caudate lobectomy is a challenging surgical procedure for which safe and reliable techniques have yet to be developed.Methods: Isolated caudate lobectomy was performed by initial inflow control of the caudate lobe, full mobilization of the liver from the inferior vena cava by dividing all short hepatic veins, and parenchymal division dorsal to the major hepatic veins with a clockwise rotation of the liver while the liver was selectively devascularised by Pringle's maneuver and occlusion of the confluence of the major hepatic veins flush with the inferior vena cava.Results: Two patients with cirrhosis underwent this procedure successfully without intraoperative hemodynamic instability or postoperative liver dysfunction.Conclusions: This technique allows safe and truly selective excision of the caudate lobe without the need for occlusion of the inferior vena cava or venovenous bypass."}
+{"text": "Resource Allocation during an Influenza Pandemic To the Editor: Planning for pandemic influenza is accepted as an essential healthcare service and has included creation of national and international antiviral drug stockpiles and novel approaches to emergency vaccine development (Even when clear societal goals are established, much work remains to ensure that the healthcare community is equipped to steer healthcare resources to deliver these effectively (The third component of our preparation for optimally deploying standard care in a pandemic is being able to change our approach quickly as new knowledge emerges. In the so-called Spanish influenza pandemic of 1918\u201319, the unfamiliar clinical course meant that influenza was not even considered when the first cases appeared ("}
+{"text": "Parental smoking data have been reabstracted from the interview records of the Oxford Survey of Childhood Cancers (deaths from 1971 to 1976). Reported smoking habits for the parents of 2587 children who died with cancer were compared with similar information for the parents of 2587 healthy controls . Maternal daily consumption of cigarettes and paternal use of pipes or cigars were unimportant, but there was a statistically significant positive trend between paternal daily consumption of cigarettes and the risk of childhood cancer (P < 0.001). This association could not be explained by maternal smoking, social class, parental ages at the birth of the survey child, sibship position or obstetric radiography. Relations between maternal consumption of cigarettes and birth weights suggested that smoking data were equally reliable for case and control subjects. About 14% of all childhood cancers in this series could be attributable to paternal smoking. These data were combined with smoking data from two previously published reports from the Oxford Survey to obtain further information on risks for different types of cancer and different ages at onset of disease. Paternal cigarette smoking emerged as a potential risk factor both for the generality of childhood cancer and for all ages at onset."}
+{"text": "A previous case-control study which utilised the occupational information available on the New Zealand Cancer Registry found an increased risk of multiple myeloma in agricultural workers consistent with previous findings in the United States. The findings are now presented for the second phase of the study which involved interviewing 76 cases of multiple myeloma (who had been included in the previous study) together with 315 controls with other types of cancer. The previous finding on an excess of farmers in the case group was confirmed by the interview data . There were no significant differences between cases and controls regarding potential exposure to phenoxy herbicides or chlorophenols. There were also no significant differences regarding activities involving potential exposure to other agricultural chemicals, although the odds ratio for fencing work, which may involve exposure to arsenic and sodium pentachlorophenate, was 1.6 . The odds ratios were significantly elevated for sheep farming and exposure to beef cattle . The odds ratio was also elevated for persons reporting a history of hay fever . Overall, these findings suggest that the search for the causes of elevated mortality in farmers from multiple myeloma should be directed to potential causes other than pesticide exposure."}
+{"text": "Human herpesvirus (HHSV) and human cytomegalovirus (HCMV) infections during pregnancy are a major concern of public health because of the risk for severe sequelae for the fetuses and the neonates and because primary infections, reinfections and reactivations can be asymptomatic. The risk for neonatal herpes is mostly congenital, while the risk for HCMV infection is either prenatal or congenital. Screening exposed women has not brought definite solutions but is currently being evaluated. Among pregnant women with active infection, evaluation of the fetus for contamination and thus for the risk for severe immediate or long-term sequelae for neonates is the major goal. Diagnostic tools are available, cell culture still being the gold standard, and polymerase chain reaction (PCR) being currently evaluated for its contribution to diagnosis of active infection. Consensus for screening pregnant women as well as achievement of antiviral vaccines are the most urgent intervention strategies to develop in the near future."}
+{"text": "Water is used in vast quantities in health-care premises. Many aquatic microorganisms can survive and flourish in water with minimal nutrients and can be transferred to vulnerable hospital patients in direct and indirect ways . Many outbreaks of infection or pseudoinfection occur through lack of prevention measures and ignorance of the source and transmission of opportunistic pathogens."}
+{"text": "A new study described in a set of three articles provides the first comprehensive characterization of DBPs in an indoor pool environment and offers initial evidence of cellular-level effects of these chemicals in swimmers in an indoor chlorinated pool The authors assessed short-term changes in 49 healthy adults after they swam for 40 minutes in a public indoor chlorinated pool. They observed increases in two biomarkers of genotoxicity relative to the concentration of brominated trihalomethanes (THMs) in exhaled breath, which were used as a proxy of the swimmers\u2019 total DBP exposures. Those biomarkers were micronuclei in blood lymphocytes and urine mutagenicity (a biomarker of exposure to genotoxic agents).The team also took detailed measurements of THMs in air around the pool and in exhaled breath of the swimmers before and after swimming. The investigators measured several biomarkers of respiratory effects after swimming and found changes in only one\u2014a slight increase in serum CC16, which suggests an increase in lung epithelium permeability. However, they found no evidence that DBP exposure affected lung function.In vitro assays showed the swimming pool water was mutagenic at levels similar to that of drinking water but was more cytotoxic (could kill cells at a lower concentration) than drinking water.The research team identified more than 100 DBPs in the water of the chlorinated pool as well as another indoor pool disinfected with bromine. Some of these compounds had never been reported previously in swimming pool water and/or chlorinated drinking water. The researchers acknowledge the need for further research on a variety of swimming pools under various conditions of maintenance and use as well as more complete evaluations of the uptake and potential effects of the compounds present in pool water. They also note the importance of timing in the collection of biological samples\u2014a parameter for which there was no precedent, given the lack of previous studies of this type with swimmers. Above all, they emphasize that positive health effects of swimming can be maintained by minimizing pool levels of DBPs."}
+{"text": "Randomised controlled trials (RCTs) represent the gold standard methodological design to evaluate the effectiveness of an intervention in humans but they are subject to bias, including study publication bias and outcome reporting bias. National and international organisations and charities give recommendations for good research practice in relation to RCTs but to date no review of these guidelines has been undertaken with respect to reporting bias.National and international organisations and UK based charities listed on the Association for Medical Research Charities website were contacted in 2007; they were considered eligible for this review if they funded RCTs. Guidelines were obtained and assessed in relation to what was written about trial registration, protocol adherence and trial publication. It was also noted whether any monitoring against these guidelines was undertaken. This information was necessary to discover how much guidance researchers are given on the publication of results, in order to prevent study publication bias and outcome reporting bias.Seventeen organisations and 56 charities were eligible of 140 surveyed for this review, although there was no response from 12. Trial registration, protocol adherence, trial publication and monitoring against the guidelines were often explicitly discussed or implicitly referred too. However, only eleven of these organisations or charities mentioned the publication of negative as well as positive outcomes and just three of the organisations specifically stated that the statistical analysis plan should be strictly adhered to and all changes should be reported.Our review indicates that there is a need to provide more detailed guidance for those conducting and reporting clinical trials to help prevent the selective reporting of results. Statements found in the guidelines generally refer to publication bias rather than outcome reporting bias. Current guidelines need to be updated and include the statement that all primary and secondary outcomes prespecified in the protocol should be fully reported and should not be selected for inclusion in the final report based on their results. Randomised controlled trials (RCTs) are planned experiments, involving the random assignment of patients to interventions, and are seen as the gold standard of methodological designs to evaluate the effectiveness of a treatment in medical research in humans .However, empirical research consistently suggests that published work is more likely to be statistically significant P < 0.05) than unpublished research, and significant results have a higher probability of being published than non-significant outcomes . Evidenc than unpOutcome reporting bias (ORB) has been defined as the selection on the basis of the results of a subset of the original variables recorded for inclusion in publication of trials . Recent The registration of RCTs before initiation, on clinical trial registries , is one Organisations that fund clinical trials often issue research guidelines to aid trialists in the conduct of their study. A review of these guidelines has been conducted to discover how much guidance research funders give concerning the publication of results. That review is the focus of this report.Particular international guidelines [ICH Harmonised Tripartite Guideline for Good Clinical Practice (E6) , The EU The International Conference on Harmonisation Good Clinical Practice (ICH GCP) guideline came into effect in 1997 and \"is an international ethical and scientific quality standard for designing, conducting, recording, and reporting trials that involve the participation of human subjects .\" It wasRegarding the primary outcome of a trial, the ICH GCP guidelines state \"The primary measurements and endpoints used to determine efficacy should be clearly specified. There should generally only be one primary variable. The primary variable should be specified in the protocol, along with the rationale for its selection. Redefinition of the primary variable after unblinding will almost always be unacceptable, since the biases this introduces are difficult to assess.\" The guidelines also state that \"The results of a clinical trial should be analysed in accordance with the plan prospectively stated in the protocol and all deviations from the plan should be indicated in the study report. In the statistical section of the clinical study report the statistical methodology should be clearly described including when in the clinical trial process methodology decisions were made.\" This indicates that the primary outcome should usually not change between protocol and publication of the trial report; if there is a change, it should be documented and explained in the trial report.The Declaration of Helsinki was firsThe CONSORT Statement is intended to improve the reporting of a randomised controlled trial . It compThe EU Clinical Trials Directive 2001 (updated in 2005) was tranA survey of major research organisations and UK charities and 2 charities have been incorporated into Epilepsy Research UK (Epilepsy Research Foundation and Fund for Epilepsy).Data from all organisations and charities were entered into a Microsoft Access database with data entry screens in the form of the original questionnaire This would cover the issue of ORB as any legitimate changes to changes of outcomes should be reported. Under \"trial publication\" we sought any statement referring to publication . For \"monitoring against guidelines\" we looked for a reference to monitoring for adherence to the published guidelines.Descriptive results from the questionnaire are presented. Data are tabulated and excerpts found in the guidelines relating to the issue of outcome reporting are used to support statements made.Twenty five organisations were contacted of which 17 were eligible. There were 115 charities listed on the AMRC website of which 56 were eligible , while others proved more difficult to find. The websites for Health Technology Assessment (HTA) and National Institute of Health (NIH), for example, provided a lot of information making it difficult to find the required guidelines.Fifty two charities and 14 organisations had guidelines for RCTs or sent the terms and conditions of a grant. There was limited contact with one charity and two organisations (and there was no relevant information on their websites), one charity and one organisation said they had no guidelines and two charities would not send their guidelines/terms and conditions due to confidentiality. Eight of the charities and three of the organisations did not respond when we asked them to check the information we had extracted.The guidelines were requested as per Appendix 2 organisations/charities stated that the guidelines were sent by post/email (11 (37%)), supplied with the grant application (11 (37%)) or researchers were referred to their website (8 (26%)).Table Of the guidelines issued by the organisations and charities, 19 (26%) stated explicitly that a trial should be registered although a further 29 (40%) referred to trial registration implicitly through their reference to other guidelines such as AMRC, MRC or the Department of Health Research Governance Framework. Protocol adherence and protocol amendment were discussed explicitly in 32 (44%) and implicitly in 26 (36%) of the guidelines although not specifically in relation to outcomes; they state only that the protocol should be followed, all major amendments need ethics committee approval (or similar) and minor amendments need to be recorded. Publication was explicitly referred to in 49 (67%) and implicitly in 14 (19%) of the guidelines/terms and conditions. They state that trials should be monitored with regards to the guidelines (47 (64%) explicitly and 12 (16%) implicitly). Publication of negative and positive findings were explicitly referred to in 11 (15%) and implicitly in 27 (37%) of the guidelines/terms and conditions. The large majority refer to other guidelines or ORB (selective non-publication of outcomes). The empirical evidence of publication bias was first seen in the early 1990's and muchOrganisations tended to have their own guidelines whereas the charities mostly had terms and conditions but referred to some of the organisations' guidelines. This may reflect some of the charities being small and that some had only recently begun to fund RCTs.p-value only), and in addition may help identify outcomes that have not been reported, these recommendations alone will not prevent the selective reporting of outcomes. The CONSORT statement does not state that all outcomes that were included in the protocol should be stated in the methods section and reported in the results section of the final report. It also does not state that outcomes should not be upgraded or downgraded between the protocol and final report, or that new outcomes should not be added or old outcomes deleted based on their results. Therefore even when trialists follow the CONSORT Statement, it would be impossible to determine whether all outcomes in the protocol are reported in the final report. However, these concerns will be addressed in the revision of CONSORT that is under way. The CONSORT Statement addresseSince this work has been completed, the members of the WHO Registry Platform Working Group on the Reporting of Findings of Clinical Trials have proposed that \"the findings of all clinical trials must be made publicly available .\"In the USA legislation is in place so that legally researchers are required to make their findings publicly available within a specific timeframe . The legOutcome Reporting Bias in Trials (ORBIT) project [This review forms part of the project . It has Our review indicates that there is a need to provide more detailed guidance for those conducting and reporting clinical trials to help prevent the selective reporting of outcomes. Current guidelines need to be updated, as many include statements regarding the publication of 'negative' studies to prevent publication bias but do not go as far as mentioning ORB. In the MRC guidelines the statement 'all outcomes stated in the protocol should be fully analysed' needs to be extended to specify that prespecified primary and secondary outcomes should be fully reported and that outcomes should not be selected for inclusion in the final report based on their results. Recommendations for text to include in research funders' guidelines are suggested (see Additional file The next step is to conduct a systematic review of empirical studies that have compared protocols to publications, to assess their adherence to specified guidelines. It would then be important to conduct a survey of trialists to see which guidelines they follow and their adherence to them, to assess their understanding of the issues discussed in this paper.AMRC: Association for Medical Research Charities; CONSORT: Consolidated Standards of Reporting Trials; HTA: Health Technology Assessment; ICH GCP: The International Conference on Harmonisation Good Clinical Practice; MHRA: The Medicines and Healthcare products Regulatory Agency; MRC: Medical Research Council; NIAID: National Institute for Allergies and Infectious Diseases; NIH: National Institute for Health; ORB: Outcome Reporting Bias; RCT: Randomised Controlled TrialThe authors declare that they have no competing interests.DGA conceived the idea for reviewing guidelines following the DAMOCLES project. All authors contributed to the design of the study.KD contacted all organisations and charities, read through the guidelines obtained and drafted the manuscript. PRW did a random check of the guidelines to ensure all relevant details had been extracted and also provided comments on drafts of the manuscript. DGA and CG provided comments on all drafts of the manuscript.Appendices for review of guidelines. A list of charities and organisations that were contacted and questionnaires that were completed.Click here for fileTable 3 Summary of organisation guidelines. A table of findings for organisations that issue guidelinesClick here for fileTable 4 Summary of findings for charities that issue guidelines or terms and conditions. A table of findings for charities that issue guidelinesClick here for fileText box 1: Recommendations for text to include in research funders' guidelines. Recommendations for text to include in research funders' guidelines.Click here for file"}
+{"text": "Dear Sir,I read with interest article by Sarin and Manchanda.Correction of chordeeI think authors had been lucky to correct the chordee by simple penile degloving. In my experience such patients of mid-penile and proximal penile hypospadias with hypoplastic urethra of 1.92 cm have significant chordee which is unlikely to be corrected by penile degloving. The authors have not mentioned whether they performed Gitte's test or not which is a sure way to confirm correction of chordee. Mobilization of hypoplastic and proximal urethra along with corpus spongiosum is my preferred choice for correction of chordee in such cases or alternatively plication procedures can be performed. The added advantage with mobilization of urethra and corpus spongiosum is easy and tension-free tubularization of urethral plate.Rational approach in utilization of hypoplastic urethraThis thin distal urethra is devoid of corpus spongiosum as spongiosum is spread lateral in \u201cY\u201d manner and is attached to the glans. HypoplasThe issues which need to be resolved in the preservation of hypoplastic urethra:Preservation of hypoplastic urethra depends on the type of hypospadias, degree of chordee and type of repair chosen. The thin urethra can easily be preserved and utilized in urethral plate preservation procedures like TIP in distal hypospadias with minimal or no chordee. Spongioplasty in these cases will reconstruct the near normal urethra and will help in correction of chordee. It is reThe authors have come across one case with chordee without hypospadias but which type, has not been mentioned. But by the description it looks like type III, where corpus spongiosum is well developed, but only dartos fascia is deficient and chordee correction is possible by penile degloving. Though some authors have advised reconstruction of the entire dysplastic urethra when the paper-thin urethra of type I chordee without hypospadias is associated with an abnormal meatus. But with"}
+{"text": "The majority of human anti-tumour monoclonal antibodies (Mabs) isolated to date have been disappointing. Firstly, they react or cross react with intracellular cytoskeletal proteins or nuclear antigens and therefore are of limited value as blood borne agents. They are also generally of the IgM isotype and show relatively low intrinsic affinity for the primary epitope. Secondly, such Mabs can be generated from normal, non tumour bearing subjects at a frequency comparable to their production from tumour patients. This latter observation is true also for common autoantigens such as DNA and IgG since Mabs to these can also be generated from normal subjects in addition to autoimmune individuals. This article rationalises these observations in the context of the requirement for clinical use for human Mabs. It discusses the evidence that there is a potentially useful B cell response to be immortalised, and examines the consequences of the newly recognised phenomenon of monoclonal antibody multispecificity both on the methodology of their generation and on their subsequent use as imaging and therapeutic tools."}
+{"text": "Gravimetric and histological studies of lymphoreticular tissues during growth of a syngeneic squamous cell carcinoma in Wistar rats show that the regional lymph node anergy reported previously in this system is associated with replacement of paracortical small lymphocytes by large blastoid cells. The regional node continued to gain weight throughout the period of anergy and showed no atrophy and minimal necrosis. Over the same period the spleen increased in both weight and cytotoxicity."}
+{"text": "Gastrointestinal stromal tumour (GIST) is the commonest mesenchymal tumour to affect the gastrointestinal tract.Appropriate management requires accurate diagnosis and the skills of a multidisciplinary team. Surgery is the only curativetreatment option and should be performed whenever feasible, by experienced personnel. For patients with advancedunresectable or metastatic disease, the receptor tyrosine kinase inhibitor imatinib offers effective therapy and can provideeffective palliation for the majority of patients with this disease. The background to this recent development and aguideline for the management of GIST is proposed."}
+{"text": "This approach is thought to be of greater promise than the antiproliferative screens which discovered cytotoxic agents and dominated cancer drug discovery for 60 years. However, one cannot lose sight of the fact that these targets exist in the cellular environment consisting of many additional influences on target function, and that effective drug treatment will take into account drug uptake, metabolism and elimination at the level of the cell as well as the organism. A key goal is to define for the new millennium a path to cancer drug discovery and development which accounts for the cancer cell phenotype in its totality rather than as arising solely from single molecular targets. The US National Cancer Institute maintains a cell-based drug discovery screen which can define a context for drug action in the milieu of more than 300 molecular targets and thousands of gene expression patterns which have been measured in the 60 human tumour cell lines which comprise the screening panel. The challenge of the millennium will be addressed by molecules active against defined targets but with selectivity of action occurring in the milieu of deregulated cancer cell biology in all its aspects. \u00a9 2000 Cancer Research Campaign"}
+{"text": "Recent investigators have used several indications to incorporate laparoscopy in the management of patients with cervical cancer. This manuscript reviews the current literature on the role of modernoperative laparoscopy in early cervical cancer and recommends a simple approach for its use in thesepatients."}
+{"text": "A study of parental cancer in 326 children referred to a single Paediatric Oncology Unit found a significant increase in breast cancer in mothers of children with solid tumours. The 5 tumours found were 8.9 times the expected number. This increase could not be accounted for by any of the known risk factors for breast cancer. The incidence of cancer in mothers of leukaemic children and in all groups of fathers was not significantly raised. Further prospective studies in the mothers of young children with soft tissue tumours are needed to clarify the groups at risk and to determine whether counselling and surveillance of these mothers is appropriate."}
+{"text": "Bronchogenic carcinoma is an uncommon neoplasm in the Nigerian. Endocrine manifestations of pulmonary neoplasm are even more uncommon in Nigerians or elsewhere. The association of gonadotrophin activity with an anaplastic carcinoma of the lung in a 25-year-old Nigerian housewife forms the basis for this communication. The successful removal of a left lower lobe neoplasm in the patient who had manifested with menometrorrhagia and abnormal breast lactation was followed by a normal pregnancy and delivery of a normal baby boy within 12 months following the lobectomy."}
+{"text": "Tobacco use is the largest global threat to public health and is anticipated to kill 1000 million people prematurely this century . This exSubstantial research by health professionals, and public health policy advocates have indicated different avenues through which adolescent smoking can be prevented at a population based level, key points which are depicted in the Tobacco Control Funnel in Figure One of the most discussed ways of reducing tobacco use among adolescents is by increasing the price of tobacco products, through a regulated rise in taxation . AdolescRestricting smoking areas also play a key role in promoting the populations health, not only by reducing the negative ramifications of exposure to second hand smoke but also by reducing cigarette consumption by restricting the smoker's ability to smoke under certain situations. Furthermore, smoke free legislations are also associated with a increased rate of smoking cessation . This enIndustry advertising and brand imagery are also associated with smoking susceptibility among adolescents, with the implementation of advertising bans a core element of comprehensive tobacco control measures and a central part of the Framework Convention on Tobacco Control (FCTC) .Tobacco Induced Diseases by Wilson N et al., who indicated an abnormal distribution of such graphic warning labels within a Canadian community [Research has indicated that adolescent smoking rates are higher in areas with a higher density of tobacco advertisements, thus increasing the community and social acceptance of smoking as part of daily life . In addiommunity .The third aspect of the Tobacco Control Funnel for preventing adolescent smoking is to educate the adolescent, the parent and the community. School based educational programmes that focus on health promotion and tobacco use, are a key element of this avenue and their importance in health education has been stressed by previous researchers . As closTobacco Induced Diseases strongly supports.Taking all the above into account, the need for collecting translational research at a national level is imperative. This community oriented research is needed to provide the society and public health advocates with the original national data required so as to de-normalise tobacco use and prevent adolescent smoking on a country to country basis, an action which"}
+{"text": "The evidence base for head and neck cancers is low with relatively few randomized controlled trials of the two main treatments, surgery and radiotherapy. The aim of the study was to investigate the patterns of surgery and radiotherapy treatment for head and neck cancers in three large areas of England and to investigate their effects on survival. This was a retrospective study of 13 510 cases of head and neck cancers diagnosed and treated from 1984 to 1992 in England. We undertook multivariate analyses of survival using a step-wise Cox proportional hazard model and Kaplan\u2013Meier analysis. There were regional variations in the treatments given to patients. Four in ten patients did not receive currently recommended treatments. In multivariate analyses treatment content and timing had an independent effect on survival. Better survival was associated with surgery for mouth cancers, radiotherapy for laryngeal cancers and combined treatment for pharyngeal cancers independent of tumour and demographic factors. Further research is needed to investigate the findings of this study through large randomized controlled trials and multi-centre audits. \u00a9 1999 Cancer Research Campaign"}
+{"text": "Aminoglutethimide has been used in combination with hydrocortisone in patients with advanced prostatic cancer with the rationale that it causes a 'medical adrenalectomy'. Both objective and subjective responses have been recorded. We have examined the effect of AG and HC alone and in combination on plasma androgen levels throughout the day in two studies on 11 such patients. Whilst AG combined with HC led to a significant suppression of both testosterone and androstenedione levels, the suppression with HC alone was significantly greater, indicating that any beneficial clinical effects of AG in these patients is not due to its suppression of adrenal androgen secretion."}
+{"text": "Gross cystic breast disease is a common condition. Women with apocrine breast cysts may be at higher risk of breast cancer than women with cysts which are lined by flattened epithelium. Apocrine cysts have been shown to be associated with higher intracystic levels of dehydroepiandrosterone sulphate and intracystic sodium to potassium ratios of less than 3. In this study we measured the concentrations of epidermal growth factor, dehydroepiandrosterone and its sulphate in breast cyst fluid. The concentrations of all three analytes were significantly higher in cysts with intracystic Na+/K+ ratios of less than 3 than in cysts with electrolyte ratios of greater than or equal to 3 (P less than 0.001). The higher levels of EGF in cysts with low intracystic electrolyte ratios may provide an explanation of why women with apocrine cysts may be at greater risk of breast cancer. Positive correlations were obtained between concentrations of EGF and DHAS and between EGF and DHA, compatible with the view that intracystic EGF levels may be androgen-modulated. A positive correlation was also obtained between DHA and DHAS concentrations which supports the view that DHA in cyst fluid may be derived from the metabolism of DHAS in the breast cyst wall."}
+{"text": "Inocula of cultured sheep cells that had been transformed with FeSV were injected into the legs of sheep so that the changes in the cellular and humoral composition of the efferent lymph from the regional node could be studied throughout the immune responses. The times at which immunoblasts and specific antibodies appeared in the lymph were similar to those recorded during responses to conventional antigens. The antiboides were mainly 7S, G1 immunoglobulins directed against virion antigens on the membranes of the transformed cells."}
+{"text": "First and foremost, our data from Nevada should np = 0.05 , thus indicating the temporal correspondence between elevated tungsten in Fallon and the childhood leukemia cluster.The comparison of real interest was between Fallon and other towns of west-central Nevada. Tree-ring tungsten in Fallon was not significantly different from that of other towns of west central Nevada during the tree-ring period centered on 1991 [Figure 4 in our article ], beforeThe Centers for Disease Control and Prevention (CDC) conclusion that tungsten is not mathematically associated with the leukemia cases of Fallon is basedOur environmental research in Fallon has followed an ecologic approach with the philosophy that greater variability in exposure between different towns is more important than the minor variability in exposure within communities . The entEven with this preponderance of evidence showing spatial and temporal patterns of airborne tungsten in Fallon, we still have not concluded in any of our reports on Fallon that exposure to tungsten causes leukemia. Quite the opposite: We have acknowledged that environmental data alone cannot lead to such a conclusion and that direct biomedical testing is needed to establish a causal linkage between tungsten and leukemia.Years ago in an article on disease cluster research,"}
+{"text": "The cytolethal response to treatment with prednisolone was investigated in vitro in eight human lymphoblastoid cell lines containing varying concentrations of specific cytoplasmic glucocorticoid receptors. A similar response was observed in seven of the lines irrespective of their concentration of cytoplasmic receptors and pharmacological doses of steroid, well above those required to saturate receptors in cell-free extracts, were required for a massive lethal response. One cell line derived from Burkitt's lymphoma was refractory to lethal effects even with pharmacological doses of steroid. A similar unresponsiveness to the cytolethal effect of prednisolone in vitro was observed in fresh lymphoblasts derived from patients with acute lymphoblastic leukaemia despite evidence of a satisfactory clinical response to therapy which included steroid. The resistance of human lymphoblastoid cells to treatment with glucocorticoids in vitro may result from a defect in activation subsequent to the binding of steroid to cytoplasmic receptors."}
+{"text": "The cylindrical/polygonal mouse holder has semitransparent rainbow bands on its side surface forthe acquisition of spectrally resolved data. Numerical studies and experiments are performed to demonstratethe feasibility of this system. It is shown that bioluminescent signals collected using our system can producea similar BLT reconstruction quality while reducing the data acquisition time, as compared to the sequential dataacquisition mode.We describe the system design of the first bioluminescence tomography (BLT) system for parallel acquisition of multiple bioluminescent views around a mouse in a number of spectral channels simultaneously. The primarycomponent of this BLT system is a novel mirror module and a unique mouse holder. The mirror module consists ofa mounting plate and four mirrors with stages. These mirror stages are right triangular blocks symmetricallyarranged and attached to the mounting plate such thatthe hypotenuse surfaces of the triangular blocks all make 45"}
+{"text": "Four human and 4 rat astrocytomata and mammalian adult brain and spinal cord were examined by indirect immunofluorescence with human serum containing smooth muscle antibody. Cryostat sections of astrocytomata showed staining of the tumour cell cytoplasm and processes while in normal adult brain and spinal cord the entire astrocyte stained. Impression film and tissue culture monolayers of astrocytomata showed staining of cell processes and a fine, filamentous network in the cell body. The reaction with astrocytoma tumour cells was stronger than that with the corresponding normal astrocytes. Specificity of the staining reaction was established by its prevention on neutralization absorptions of the serum with extracts or homogeneous of smooth muscle. The presence of smooth muscle-associated antigen in astrocytes and astrocytomata is indicative of contractile protein providing a mechanism of cell movement in vivo."}
+{"text": "Noradrenaline induced changes in the distribution of blood flow in implanted tumour and normal liver tissue was measured using blood flow tracer microspheres. The ratio of embolised microspheres in tumour compared to normal tissue was determined before and after the intravenous infusion of noradrenaline, propranolol and a combination of the two drugs. The ratio was significantly decreased by noradrenaline alone but significantly increased when propranolol was added to the infusate. Propranolol had no effect on the ratio. The drug combination increased the tumour to normal ratio by approximately 69% and also doubled the proportion of microspheres entering the internal tumour circulation. This represents an enhanced relative blood supply to tumour and would provide a means of preferential carriage of blood borne cytotoxic agents to tumour tissue rather than normal tissue."}
+{"text": "The effect of exogenous sex hormones on the cell mediated response in male and female mice has been studied by measuring the subcutaneous growth of HeLa tumour nodules and the variation in the total lymphocyte count. It was found that oestrogen treated male and female mice experienced a profound lymphopenia which was vary rapid in onset. Concurrent with the lymphopenia there was prolongation of HeLa tumour nodule growth in female mice, but not in males. A lymphopenia occurred in androgen treated male mice with subsequent prolongation of HeLa tumour nodule growth, and a lymphocytosis in female mice, with reduction of HeLa tumour nodule growth."}
+{"text": "The role in which electronic endoscopy plays is important in EMR. It is useful in diagnosis and treatment of gastric cancer from a clinical viewpoint. EMR with use of electronic endoscopy allows bettercoordination between the operator and assistants, and thus improves the results further."}
+{"text": "The use of cryotherapy for the treatment of some unresectable liver tumours has been clearlyestablished as a therapeutic option. Intra-operative ultrasound has enhanced the process by enablingthe surgeon to identify hepatic lesions and to allow visualisation of the freezing process to ensure thatthe cryolesion will include the tumour mass. The purpose of this paper is to provide a practical guide tosurgeons who wish to perform cryotherapy of liver tumours. Patient selection and anaestheticconsiderations are important. The surgeon should be able to deal with the complications ofcryotherapy, particularly the intra-operative haemorrhage which may arise from cracking of thehepatic parenchyma as the iceball thaws. Follow-up is based on tumour marker assay and imaging ofthe liver and repeat cryotherapy can be considered for selected cases."}
+{"text": "Background. Metastatic spread of soft tissue sarcomas to the digits is extremely rare and metastasis of MFH to the fingers and toes has not been documented. Purpose. We present two case reports of metastatic spread from a giant cell rich malignant fibrous histiocytoma to the digits and discuss their management."}
+{"text": "D. latum and the closely related sea gull tapeworm, D. dendriticum, have well-established endemic life cycles in a series of glacial lakes that dot Region XIX and Region X in northern Chilean Patagonia. Infections with these parasites have been detected in this geographic area since the 1950s in persons who ingested uncooked fish from these lakes and also in animals (\u2013D. latum is transmitted to humans by plerocercoid larvae present in fish meat and visceral organs (\u2013\u2013\u2013During the past 55 years, work by Chilean parasitologists has demonstrated that native species and introduced salmonid fish are infested with Diphyllobothrium plerocercoids in these lakes (\u2013\u2013,\u2013The Brazilian studies did not detect Diphyllobothrium plerocercoids in several samples of Chilean salmon tested after the first human cases of diphylobothriasis appeared (\u2013,\u2013Traditionally in Europe and North America, infections with fish tapeworms were incurred during the preparation of gefilte fish by Jewish women who tasted bits of uncooked freshwater fish and thus ingested plerocercoids (\u2013Thus, to avoid new human outbreaks of fish tapeworm in other geographic areas where this parasite does not exist, salmon originated from aquaculture should not be eaten raw, at least not until it has been frozen under the conditions discussed above. Assuming the epidemiologic information presented here explains the appearance of the fish tapeworm outbreak in Brazil, it would be preferable, in terms of sanitation, for the Chilean aquaculture industry to stop growing salmon smolt in the lakes in the areas where diphyllobothriasis is endemic in humans and animals (,This epidemiologic event may also be understood as cautionary tale, and 1 more example of the dangers entailed by the globalization of food supply and of the rapidly changing global eating habits that facilitate the distribution of human and animal pathogens worldwide. The expansion of diphyllobothriasis-endemic areas in Chile may, in turn, facilitate the appearance of future outbreaks of this disease as the aquaculture industry expands to these new infested areas and the market for Chilean salmon enlarges worldwide. The increased popularity of eating uncooked fish in sushi and ceviche will also be a factor in the emergence of future outbreaks of this disease ("}
+{"text": "The choice of calibration policy is of basic importance in analyticalchemistry. A prototype of the practical calibration problem isformulated as a mathematical task and a Bayesian solution of theresulting decision problem is presented. The optimum feedbackcalibration policy can then be found by dynamic programming. Theunderlying parameter estimation and filtering are solved byupdating relevant conditional distributions. In this way: thenecessary information is specified ; the relationship of the information gained from acalibration experiment to the ultimate goal of calibration, i.e., tothe estimation of unknown samples, is explained; an ideal solutionis given which can serve for comparing various ways of calibration;and a consistent and conceptually simple guideline is given forusing decision theory when solving problems of analytical chemistrycontaining uncertain data. The abstract formulation is systematicallyillustrated by an example taken from gas chromatography."}
+{"text": "In order to predict the metabolic fate of an arbitrary compound based solely onstructure, it is useful to be able to identify substructural \u2018functional groups\u2019 that arebiochemically reactive. These functional groups are the substructural elements thatcan be removed and replaced to transform one compound into another. This problemof identifying functional groups is related to the problem of classifying compounds.The research presented here discusses the state of the art in biochemical databasesand how these sources may be applied to the problem of classifying compounds basedsolely on structure. We describe a biochemical informatics system for processingmolecular data and describe how 100 255 compositional (hasA) relationships areinferred between 835 abstractions and 9500 metabolites from the KEGG Liganddatabase. Specifically, we focus on the identification of amino acids and consider waysin which the inference of biochemical ontologies for metabolites will be improved inthe future."}
+{"text": "An attempt has been made to construct an assay potentially suitable for use with primary cultures of human tumours to measure the survival of exponentially growing monolayer cultures after exposure to anti-neoplastic drugs. Cell survival was assessed using their protein synthetic capacity after removal of drugs. HeLa cells were employed to avoid the ingerent variability and heterogeneity of primary cultures from human tumours, and an assay has been constructed using microtitration trays to provide large numbers of replicate cultures without the requirement of a large number cells. An increase in the duration of the exposure to drug increased sensitivity in nearly all cases examined. Similarly, an increase in the period of culture following drug removal produced increased sensitivity to alkylating agents but allowed recovery from exposure to certain cycle-dependent drugs. Some of the drugs used were shown to be unstable under culture conditions and vinblastine was actively metabolized, although this instability was not necessarily reflected in the time course of the drug's effect. Mustine sensitivity was shown to be reduced by an increase in cell density at a level where density limitation of 3H-thymidine incorporation becomes apparent. These variations and possible methods of minimizing their effects are discussed."}
+{"text": "We surveyed physicians and veterinarians in Wisconsin about the risk for and prevention of zoonotic diseases in immunocompromised persons. We found that physicians and veterinarians hold significantly different views about the risks posed by certain infectious agents and species of animals and communicate very little about zoonotic issues; moreover, physicians believe that veterinarians should be involved in many aspects of zoonotic disease prevention, including patient education."}
+{"text": "The blastogenic response to a crude cell extract of ovarian cancer cells has been studied in 48 patients with ovarian cancer , in 26 female controls matched for age and in 18 female patients with other types of cancer in remission from disease. The responses in ovarian cancer patients in remission and relapse were considered separately. The blastogenic responses to cell extracts of foetal ovary, foetal lung, foetal liver and normal adult ovary were also assessed in a proportion of all 3 groups. The blastogenic responses to ovarian cancer and foetal ovary cell extracts were found to be significantly greater in the ovarian cancer patients in remission than in the controls, but the responses to ovarian cancer extract were not greater in the relapse group or in patients with other cancers. As a blastogenic response to normal ovarian extract was also present in some of these patients, the data so far do not support the hypothesis of a tumour specific antigen. This tumour associated response may be occurring to determinants in foetal or adult ovarian tissue to which the patient becomes sensitized in malignant disease. The response is complex and the nature of the antigen requires further analysis."}
+{"text": "Metastatic melanoma of the common bile duct (CBD) is very rare, with only 18 cases reported so far.. A compuThe first case of a metastatic melanoma to the bile duct was described by Spigelberg in 1895 and the second by Duval in 1908. The melaIt seems reasonable to perform radical surgical resection in patients with potentially curable disease and isolated deposits in the bile duct. If there is a concurrent metastatic disease elsewhere, it is prudent to adopt a less-aggressive approach in order to relieve obstructive jaundice, such as the bypass procedure or stenting.Patients with gastrointestinal symptoms and a history of melanoma should be investigated for the presence of gastrointestinal metastases even if the original primary malignancy was diagnosed years before the patient presentation."}
+{"text": "Sir,Chlamydia trachomatis infection also lies in the fact that it is the most common reportable infectious disease in the United States of America.[Chlamydia trachomatis infection. This change occurred because of recent evidence supporting azithromicin as safe and effective during pregnancy.[We agree with the readers of our article \u201cApproach to Urinary Tract Infection\u201d when they point out that it is important to treat both gonorrhoea and Chlamydia in a patient of urethritis simultaneously. Gonorrhoea need not be treated if excluded after proper testing and investigation. Importance of America. Azithromregnancy.Both Gonococal and Chlamydial infections are sexually transmitted diseases (STDs) and the standard practice is to recommend treatment of sex partners of the patients of these infections to decrease the risk of reinfection. The primary goal is for the patient\u2019s sex partner to be examined by a physician for testing, treatment and education. However, there may be clinical situations in which this cannot be accomplished . In these circumstances, the Center for Disease Control recommends that physicians consider using \u201cexpedited partner treatment.\u201d This is the practice of treating sex partners of persons diagnosed with an STD without medical evaluation or prevention counseling by providing the patient with appropriate treatment to administer to his or her partner."}
+{"text": "The T lymphocytes populations of 22 young healthy adults, 21 healthy middle aged and older blood donors, 35 non-pregnant women of child bearing age and 14 patients with advanced malignant disease were assessed and compared. It was found that the mean T cell counts in the middle aged and older controls were significantly lower than in the healthy young adults and were further reduced in the patients with malignant disease. The addition of the proteolytic agent brinase (protease 1 obtained from Aspergillus oryzae) to the rosetting test increased the T cell counts signficantly in all groups. This was mot marked in the older age groups and the patients with malignant disease. The proteolytic agent is shown to exert its effect on the lymphocytes in the test. Slow intravenous infusion of either brinase or streptokinase into patients with malignant disease is shown to result in increased T lymphocyte counts pari passu with a restoration of skin allergy. The significance of these findings and possible mode of action of the proteolytic agents in increasing T cell activity are discussed."}
+{"text": "Insecticide resistance has been a problem in all insect groups that serve as vectors of emerging diseases. Although mechanisms by which insecticides become less effective are similar across all vector taxa, each resistance problem is potentially unique and may involve a complex pattern of resistance foci. The main defense against resistance is close surveillance of the susceptibility of vector populations. We describe the mechanisms of insecticide resistance, as well as specific instances of resistance emergence worldwide, and discuss prospects for resistance management and priorities for detection and surveillance."}
+{"text": "The cytocidal properties of metronidazole against hypoxic mammalian cells are described. This chemotherapeutic action has been shown to be dependent on drug concentration and duration of exposure. The x-ray TCD50 for a murine anaplastic carcinoma was reduced from 6081 rad to 4643 rad when animals were given metronidazole orally for 36 h before radiation treatment. The effect is attributed to the direct killing of hypoxic tumour cells by a mechanism analogous to that proposed for the action of the drug on anaerobic micro-organisms. It is concluded that further work with metronidazole as a cytotoxin specific for hypoxic cells is warranted, particularly in view of the reported lack of toxicity associated with the preliminary clinical use of the drug as a radiosensitizer in man."}
+{"text": "Should a medical practitioner be aware of ethics? Does knowledge of ethics make you a thoughtful and competent doctor? The society expects medical practice to be based on sound ethical principles. But then what are these principles? Who decides what is unethical? Does ethics vary among different groups, societies or countries? Why more and more medical trials are now being conducted in the third world countries? Does the poor unsuspecting population of the third world become a guinea pig for the multinational companies? To what extent can learning ethics in a medical school produce a caring physician? How many of us put ourselves or our near and dear ones in the position of the patient before making a medical decision, more so in a difficult situation.Surgical workshop is the order of the day and has become very popular among surgeons. Are there any ethical guidelines to govern them? How often does a new surgical procedure go through proper checks and balances before being adopted widely in medical practice? This has led to see one, do one and teach one principle and has resulted in an undisciplined introduction of laparoscopy and many other similar surgical procedures in Urology and General surgery and has earned dubious distinction of the biggest unaudited free for all in the history of surgery. The terminology of surgical learning curve has gained popularity due to the mishaps, which have occurred during the learning of laparoscopy. I am sure that the aviation industry that trains pilots would be in for a rude shock if they knew how we are trained before we adopt these new procedures.Medical Ethics and Legal Issues may not necessarily discuss the above issues but if we want to salvage the reputation and integrity of our profession, we certainly need to think and draw our own \u201cLakshman Rekha.\u201d Ethics should be taught in medical schools by senior medical/paramedical faculty who are either practicing (or have practiced) medicine and have the experience of making difficult medical decisions and have learnt from their mistakes.This symposium on Dr. Joseph Thomas, Professor and Head of Urology at KMC, Manipal, who has a special interest in this field and holds a degree in medical law has guest edited this symposium. I am optimistic that it would sensitize all of us toward these important issues and provide an opportunity for further deliberation. I thank Dr. Thomas and his team for their efforts.By the time you all receive this issue you would be aware of the sudden demise of Dr. Atul Thakre. He was a brilliant urologist and the rising star in the field of Pediatric Urology. He took keen interest in the activities of the IJU. We are all deeply saddened by this loss and I feel a fitting tribute to Dr. Atul Thakre would be development of Pediatric Urology in India."}
+{"text": "The interpretation of time trends in disease rates can be facilitated using estimable contrasts from age-period-cohort models. Cohort and period trends in breast cancer incidence and mortality rates in Scotland were investigated using contrasts that measure the changes in the linear trends. These contrasts were compared with estimates obtained from mortality rates in the USA and Japan. A significant moderation of both breast cancer incidence and mortality rates was observed in Scotland, associated with cohorts of women born after the Second World War compared with women born between the two world wars. The moderation of breast cancer mortality among cohorts born after 1925 compared with cohorts born before 1925 that was observed in the USA and Japan was also observed in this study. This moderation is not present in the incidence rates. The relative decline in the risk of breast cancer seen in younger cohorts seems to be contradictory to the temporal pattern present among breast cancer risk factors. It may well be that the alteration of eating patterns as a result of rationing in the wartime and immediate post-war period, and the subsequent influence on certain breast cancer risk factors probably produced by such changes, may have had some influence on the development of healthier girls and women. Such speculation could be addressed in a well-designed epidemiological study. There have been no changes in the mortality rate trends with period in Scotland, although the changes in the incidence rate trends with period are consistent with an increase in registration coverage."}
+{"text": "Two patients with stricture of the extrahepatic biliary tree are described. Both patients presented with aclinical picture of obstructive jaundice one to two years following radiotherapy for a malignantcondition. As no recurrent tumour was detected in either of the patients the strictures were consideredto be the result of radiation therapy. Bilio-enteric decompression was performed in both patients whoare well at follow up one and ten years after the procedure."}
+{"text": "Mycobacterium tuberculosis and dysregulation of the heat shock response results in increased immune recognition of the bacterium and reducedsurvival during chronic infection. In this study we use a whole genome spottedmicroarray to characterize the heat shock response of M. tuberculosis. We also begin a dissection of this important stress response by generating deletion mutants that lackspecific transcriptional regulators and examining their transcriptional profiles underdifferent stresses. Understanding the stimuli and mechanisms that govern heat shockin mycobacteria will allow us to relate observed in vivo expression patterns of HSPsto particular stresses and physiological conditions. The mechanisms controlling HSPexpression also make attractive drug targets as part of a strategy designed to enhanceimmune recognition of the bacterium.The regulation of heat shock protein (HSP) expression is critically important to pathogens such as"}
+{"text": "The articles in this special issue reflect a convergence of developments in the fields of bioinformatics and plant genomics. Bioinformatics has its roots vaguely seated in the early 1980s, a time when personal computers began appearing in research laboratories and researchers began recognizing that those computers could be used as tools to organize, analyze and visualize their data. In the ensuing years bioinformatics tools began appearing at various sites including the European Molecular Biology Laboratory, the Molecular Biology Research Resource at the Dana-Farber Cancer Institute in the mid 1980s, the National Center for Biotechnology Information (NCBI) in 1988, the Genome Database Project at Johns Hopkins University in early 1989, and in countless laboratories throughout the world. These last efforts resulted in the development of many of the tools described in this special issue.Arabidopsis thaliana was published. Since then many genome sequencing projects have been undertaken that include poplar (Populus), grape (Vitis), the moss Physcomitrella, the biflagellate algae Chlamydomonas and several globally crucial crop plants such as corn (Maize) and rice (Oryza). However, as we have witnessed on numerous occasions, determining the sequence of a genome is only the first step toward understanding genome organization, gene structure, gene expression patterns, disease pathogenesis and a host of other features of both scientific and commercial interests. Computational tools of genomic annotation and comparative genomics must be applied to gain a useful understanding of any genome.Progress and interest in plant genomics have been accelerating since the time in late 2000 when the genome of In this special issue we present a collection of papers that together describe a powerful and impactful toolbox of applications and resources for plant genomic analysis. Among those articles you will find a description of research performed by the Mexican headquartered Generation Challenge Programme (GCP) which led to the GCP Platform . This research support tool supports a number of data formats and web services and provides access to high performance computing facilities and platform-specific middleware collectively designed to support crop science research.Probably one of the most promising empirical tools for investigating gene expression developed in the last 15 or so years is that of microarray technology. While the technology has become commonplace, with tools for generating and hybridizing arrays available to all, the analysis of microarray-derived data has been challenging. Many laboratories have struggled not only with this challenge but also with the task of sorting through the plethora of analytical tools available in an effort to find the ones that may be best suited to their own work. In this issue there are two reviews by Page and Coulibaly which examine and describe bioinformatics tools for inferring functional information from plant microarray data. Together these papers step the reader through a collection of tools, and their applications, for analyzing the expression of single and multiple gene expression profiles.This theme of microarray analysis is continued in the description of the cross chip probe matching tool (CCPMT) by Page et al. Indeed it expands the readers horizons beyond the analysis of individual microarrays with the ability to associate probes across species. And of course, microarray analysis is facilitated by careful experimental design from the start so Robert Tempelman provides a review of statistical methods used to design efficient two-color microarray experiments. Taken together, these microarray papers provide an overview of the design of microarray experiments and the interpretation of the complex results of those experiments that will be informative for new and experienced laboratorians alike.Several other novel tools are described herein. One, Blast2GO is a suite of tools for the analysis and functional annotation of plant genomes (Conesa and Goetz). It provides an intuitive interface for identifying functional regions within DNA sequences. Another sequence analysis tool described by da Maia et al. is the SSR locator. That tool enables researchers to identify suitable targets for binding PCR primers in order to ensure that those targets are unique within the genome. It also assists with primer design and has a PCR simulator which facilitates comparisons of hypothetical amplification products among different species.Another challenge facing scientists today is the need to stay abreast of advances in a field that is progressing rapidly as a consequence of newly available technologies. In order to address this challenge there are two review articles that together provide insights into the discovery of relationships among a varied array of plant species. The first article, by Abdurakhmonov and Abdukarimov, describes the application of association mapping to understanding traits in crop species. Their work is directed toward novices within the crop breeding community in order to expose them to potential problems that they may face and solutions they may employ to overcome those problems. The second article describes the tools available for phylogenetic analyses and the increased use of Bayesian methods in those tools (Aris-Brosou and Xia). Constructing phylogenies has traditionally been a challenge to even the most experienced researcher but modern bioinformatics tools are lowering the bar for those interested in detecting adaptive evolution and estimating divergence among species.Zea mays which includes genomic sequences as well as functional information and the tools to explore both.The wealth of information available to researchers today can be overwhelming. In order to address this potential, two papers describe information resources which consolidate and organize related information. PPNEMA is a database resource for those interested in plant-parasitic nematode ribosomal genes . That resource allows the user to browse, search and generally explore phytoparasite ribosomal DNA. A second database described in these pages is the MaizeGDB . This resource contains information about The body of the papers in this special issue represents the leading edge of plant genomics research. Together they provide the reader with descriptions of the tools and resources necessary to understand and promote advances in this important field.Gary R. SkuseGary R. SkuseChunguang DuChunguang Du"}
+{"text": "The inhibitory effect of the protease inhibitor aprotinin (Trasylol) on the invasion of mouse kidney explants by polyoma virus transformed BHK21 cells was investigated using a mixed cell/organ culture technique. The extent of invasion was monitored by following the changes in LDH isoenzyme pattern in the explants and by histological assessment. The kidney explants containing aprotinin were found to maintain a normal kidney LDH pattern and to suffer considerably less invasion than the explants not containing the drug. These results support the idea that proteolytic enzymes are associated with invasion and that inhibitors of protease activity could possibly be useful in the management of clinical cancer."}
+{"text": "The level of galactosyltransferase activity was measured in the serum of 220 patients with a variety of solid tumours. There was a significantly greater proportion of patients with elevated galactosyltransferase in the group with metastatic disease (43%) than for the group with localised disease (16%). Galactosyltransferase was elevated in 69% of patients with liver metastasis compared to 32% of patients with metastatic disease at sites other than liver and this difference was also significant. High resolution agarose isoelectric-focusing was used to determine the 'isoenzyme' pattern of serum galactosyltransferase of 6 patients with liver metastasis and 2 patients with primary hepatoma and these were compared to those of 6 patients with similar primary tumours without liver involvement. There were no qualitative differences in the patterns from the two groups. The average peak height for each of the 19 peaks of activity identified was generally higher in the group with liver involvement, except for those peaks known to contain little or no attached sialic acid. Liver involvement appears not to contribute in any specific way to the altered pattern of serum galactosyltransferase often seen in patients with solid tumours. The tumour rather than the liver is therefore the most likely source of these alterations."}
+{"text": "To describe early cancerous and precancerous lesions of the laryngeal vocal folds as well as of themost common differential diagnoses, based on a series of microlaryngoscopic photographs. Someintroductory remarks about terminology and the classification of epithelial lesions of the vocal foldsare included. The paper ends with some comments as to the management of epithelial thickenings(or leukoplakias) of the vocal folds. Malignancy should be suspected as long as it has not been ruledout by histologic diagnosis on adequate biopsies, which is the only way to correctly evaluate the characterof such lesions. Precancerous lesions should be controlled by regular follow up examinationsas carefully as invasive carcinomas (posttreatment), because there is a high tendency for recurrencesor for later development of malignancy in these cases."}
+{"text": "The growing consensus that most valuable data source for biomedical discoveries is derived from human samples is clearly reflected in the growing number of translational medicine and translational sciences departments across pharma as well as academic and government supported initiatives such as Clinical and Translational Science Awards (CTSA) in the US and the Seventh Framework Programme (FP7) of EU with emphasis on translating research for human health.The pharmaceutical companies of Johnson and Johnson have established translational and biomarker departments and implemented an effective knowledge management framework including building a data warehouse and the associated data mining applications. The implemented resource is built from open source systems such as i2b2 and GenePattern.The system has been deployed across multiple therapeutic areas within the pharmaceutical companies of Johnson and Johnsons and being used actively to integrate and mine internal and public data to support drug discovery and development decisions such as indication selection and trial design in a translational medicine setting. Our results show that the established system allows scientist to quickly re-validate hypotheses or generate new ones with the use of an intuitive graphical interface.The implemented resource can serve as the basis of precompetitive sharing and mining of studies involving samples from human subjects thus enhancing our understanding of human biology and pathophysiology and ultimately leading to more effective treatment of diseases which represent unmet medical needs. The effective management of knowledge in translational research setting ,2 is a mMerck has developed a system which enables sharing of human subject data in oncology trials with the Moffit Cancer Center and Research Institute . This syThere is a growing set of data being deposited in NCBI GEO , EBI ArrThese databases enforce standards for some of the elements of the experimental metadata . In geneThe computational experiments can lead to validation of the primary findings or to novel discoveries such as in the case of meta-analysis of multiple datasets. The burden of deconvoluting the phenotypes from source files downloaded from these primary sources and coding them in a standard to enable large-scale meta-analyses makes these types of discoveries very costly and in fact quite rare -13.Data curation is a way to tackle some of these issues. Typically, derived databases of omics experiments are curated to create comparisons for specialized mining with specific questions in mind. For example, there are multiple resources being developed to integrate and analyze gene expression and other omic data and create contrasts (A vs. B comparisons) or signatures ,15. The The treasure trove of high-content data derived from human samples can be much more effectively mined if standard dictionaries applied to all these studies and each subject's clinical and the associated sample's genomics data is stored and analyzed through a system which enables efficient access and mining. An example of such standardized infrastructure and potential for pre-competitive sharing is presented below.Johnson & Johnson has invested in translational research by establishing within its pharmaceutical R&D division a set of translational and biomarker groups and focusing also on the management and mining of the data emanating from integrative settings crossing the drug discovery and development stages. One of the deliverables of this enhanced governance structure was the development of a translational medicine informatics infrastructure. This infrastructure is a combination of dedicated people, robust processes and informatics solution - tranSMART.We have established a strong cooperation across the R&D of the pharmaceutical companies of Johnson & Johnson and an open innovation partnerships with the Cancer Institute of New Jersey and St. Jude Children's Research Hospital . The R&DAn important aspect of successfully introducing a paradigm shift within a large pharmaceutical organization is change management. From the start we have recruited biologists, pharmacologists and physicians from various therapeutic areas to help champion the adaptation of the newly developed translational infrastructure but also to guide us through the development of the application in an agile environment.The translational medicine data warehouse - tranSMART - was developed in partnership with Recombinant Data Corporation Fig. and detaData is stored in an Oracle 11 database which is fully auditable. We selected a set of open-source components to assemble the application in contrast to the strategy followed by Merck. A user interface providing a biological concept search of analyzed data sets and an i2b2 based coClinical trial and experimental medicine study data sets were transformed by curators and ETL developers into an i2b2 EAV of this complex query. In subset one (denoted by S1_... sample ids) most of the samples have low expression of the gene of interest (denoted by blue color) whereas in subset two (denoted by S2_... sample ids) most of the samples have high expression of the gene of interest (denoted by red color).Queries can use Boolean operators such as OR and AND as illustrated in Figures EGFR gene with k = 2 can stratify the subjects into high and low expressors.Cross-study meta-analyses are also available in the application Figure . In thisThe tranSMART system allows clinicians, translational scientists and discovery biologists to interrogate aligned phenotype/genotype data to enable better clinical trial design or to stratify disease into molecular subtypes with great efficiency. Initial successes of applying this system point towards the high value of translational data in proposing indications for drugs with new mechanism of actions and selecting biomarkers for stratified medicine.The system has been in wide use across multiple therapeutic areas within the pharmaceutical companies of Johnson and Johnson. Comparing biological processes and pathways between multiple data sets from related disease or even across multiple therapeutic areas is an important benefit of such a system. Through the examples presented above we have shown that the tranSMART system allows scientist to quickly re-validate hypotheses or generate new ones with the use of an intuitive graphical user interface. The use cases supported by tranSMART have been developed in close collaboration with key users and the solution was built from many open source systems making the adaptation of the system straightforward.We have implemented a fine-grained, role-based authorization model throughout the application so that study level permissions are enabled and can be controlled by the study owners. During curation the study owners are actively involved in reviewing and approving the loading and standardization of the data from their studies. This approach greatly enhanced the cooperation of the study owners and the ultimate success of the data warehouse.A well-constructed system can enable scientist to test but also generate new hypotheses using well-curated, high-content translational medicine data leading to deeper understanding of various biological processes and eventually helping to develop better treatment options.Active curation and enterprise data governance have proven to be critical aspects of success. The capability of the system to query both internal and public data and that during the development and implementation full organizational alignment was ensured turned out to be crucial.Because large part of tranSMART is built from open source systems it is much more amenable for being shared with academic institutions in a pre-competitive setting enabling collaborations aimed at developing deeper understanding disease biology.The tranSMART system is under active development including active curation of additional studies, implementing new modalities and adding novel workflows. Future development may include connection to the internal biobank. By the established system and the robust processes our research and development organization can now effectively manage not just the complex and multimodal data but can also unlock the potential of the data by transforming it into actionable knowledge.SS, VK and EP are employees of Johnson and Johnson.SS and EP conceived and designed the study. VK and TK assisted with the experiments. SS drafted the manuscript. All authors read and proofed the final manuscript."}
+{"text": "Although serologic evidence suggests the presence of Q fever in humans and animals in Saudi Arabia and the United Arab Emirates, acute Q fever has not been reported on the Arabian Peninsula. We report the first two cases of acute Q fever in Oman."}
+{"text": "A high-performance continuous flow analyser is described, based on gas pressure driven carrier and reagents controlled by computer switched solenoid valves. The principal characteristics of the analyser are discussed and examples of its performance are provided in the form of results obtained using a standard procedure for the determination of Cr(VI). The system was also tested in use with real samples using an ammonium ion analysis on potable and effluent water samples, and the results compared with those obtained using a segmented continuous flow method operated at the Laboratory of the Government Chemist."}
+{"text": "The increased focus on the epistemology\u2014the theory of knowledge\u2014that underlies both healthcare improvement and patient safety has brought a fresh vitality to the scholarly healthcare improvement literature.2Quality and Safety in Health Care in 2005 as draft guidelines to advance the scholarship of improvement and to address the underlying theory of experiential learning that is central to much of healthcare improvement research.QSHC supplement.2SQUIRE was originally promulgated by Davidoff and Batalden in Colleagues who labour daily at improving health care in their clinical and institutional settings do not necessarily have incentives or the inclination to publish their original improvement work. Indeed, healthcare improvement is often its own reward. Academics, on the other hand, have strong incentives to publish their original work because publication provides a measure of professional productivity, one of the criteria by which they are judged by their peers and by academic institutions. Improvement researchers may use methods\u2014for example, qualitative techniques, particularly those that reflect critical experiential learning that are less commonly used in biomedical research.SQUIRE was preceded by concise guidelines for quality improvement reports (QIR), which provided guidance for reporting local improvement projects.\u2013Authors and editors will find that SQUIRE and QIR both emphasise the central importance of context and of the effective communication of improvement strategies.3QSHC website by over 15\u2009000 unique viewers. Authors who were early adopters7\u2013After the initial publication of the draft SQUIRE guidelines in 2005, their theory and utility underwent considerable scrutiny. The original draft guidelines were accessed online via the Now that the revised SQUIRE guidelines are available, what are potential unforeseen and unintended consequences of SQUIRE\u2019s wider application to healthcare improvement reports? An example of the more worrying questions include: is there a risk that improvement scholars\u2014in their commitment to the unique epistemology of improvement science\u2014have created potentially controversial theory that could contribute to possible isolation of this scholarly field? Might initiatives to consider deeper underlying issues of epistemology discourage valuable reporting by clinicians, administrators and scholars for whom improvement is not a first or primary discipline? The authors of SQUIRE hope it will offer guidance that, in fact, serves to circumvent these concerns and contribute to the development of a lively community of scholarly inquiry and practice about the improvement of healthcare.2Nevertheless, these questions highlight the importance and value of the \u201cExplanation and Elaboration\u201d (E & E) document that accompanies the publication of SQUIRE in this supplement.In addition, a SQUIRE website has been established for its promulgation and systematic evaluation.Authors and editors can readily test the utility of the SQUIRE guidelines for making healthcare improvement research more accessible to a wider audience, and the opportunities they provide for increasing the clarity of improvement research reportsQSHC and other scholarly journals. Finally, we encourage active interaction, specifically on the SQUIRE website and directly with the editors of QSHC, as the healthcare improvement community endeavours to enhance the rigour and utility of the scholarly healthcare improvement literature.We encourage authors to consider the use of either SQUIRE or QIR\u2014based on the nature of their healthcare improvement activity\u2014as they craft their reports for"}
+{"text": "The clinical features of 19 patients with malignant infiltration of the retroperitoneal tissues are described. These patients usually presented with unexplained uraemia and nonspecific symptoms; only a few had other evidence of malignancy. The diagnosis was resolved only by histological examination of multiple biopsy specimens. Since the prognosis is usually very poor it is essential to distinguish this condition from non-malignant causes of retroperitoneal fibrosis."}
+{"text": "The Epithelial Membrane Antigen (EMA) has until now only been described in immunological terms and has been shown immunohistochemically to be present on a variety of human non-squamous epithelial surfaces. It is a valuable marker in diagnostic tumour pathology and enables the detection of small deposits of malignant cells in organs such as liver and bone marrow. Its discovery in soluble form in human milk has enabled a purification of the antigen from this source. The antigenic activity in the milk is spread over a wide range of mol. wts and although purification causes a general reduction in size, the antigen remains heterogeneous. Carbohydrate forms the major component of the antigen with galactose and N-acetylglucosamine as the two major sugars. The protein content of EMA is low and shows considerable variation in amino acid composition from one sample to another. A high content of inorganic material has also been found in EMA but is not due to high sulphate or phosphate levels."}
+{"text": "With progressive growth of syngeneic sarcomata in rats there was a rise in serum levels of lysozyme which correlated with their immunogenicity and their macrophage content. By an examination of lymph/blood differences in normal and in tumour bearing rats and of the production of lysozyme by cells obtained from the tumours and maintained in vitro, it is apparent that the macrophages resident in a tumour mass make a massive contribution to the elevation in serum lysozyme concentrations. Tumour cells did not release detectable lysozyme activity. Tumour amputation led to a rapid fall in lysozyme levels. Irradiation of the host rats abolished the lysozyme response and the subsequent development of metastases in these rats was associated with a rise in serum lysozyme. The serum concentration of this enzyme reflects the macrophage content of a tumour mass and the draining lymph nodes. We conclude that under well defined conditions serum lysozyme activity may be a useful marker of macrophage mediated host responses to a tumour."}
+{"text": "Records of approximately 310,000 patients admitted to the 10 hospitals in Botswana between 1960 and 1972 have been studied and details of 1445 patients with malignant tumours abstracted. For the 894 tumours for which there was some supporting evidence--at best histological proof and minimally a clinical description of symptoms--proportional frequencies have been calculated for all sites and comparison made with the findings of other surveys. Cancer of the cervix uteri is overwhelmingly the most commonly occurring malignant tumour and the proportional frequency is among the highest observed in Africa south of the Sahara. Skin tumours are unusually common for Southern Africa in both sexes. In males, penile and prostatic tumours have a relatively high frequency whilst the frequencies for liver and lung are lower than in other parts of Southern Africa. Oesophageal cancer in males has a moderate frequency. Other tumours which show a marked variation of frequency within Africa--Kaposi's sarcoma and cancers of the stomach and bladder--are all low in frequency in Botswana. Tumours which are rare throughout Africa but common in Western Europe and North America--cancers of the colon, rectum and corpus uteri--are also rare in Botswana."}
+{"text": "Atherosclerosis is nowadays generally accepted as an inflammatory disease but the mechanism of its origin and development have not yet been fully clarified. The present review focuses on the role of the local immune system as one of the key players in the pathogenesis of the complex process. Its part represented by vascular-associated lymphoid tissue (VALT) within the arterial wall participates directly in the vascular wall's homeostatis. Its inordinate activation during ontogenic development of an individual, this formerly defensive and physiologic mechanism transform into a pathological process resulting in an impairing inflammation. Hsp60, CRP and oxidized or otherwise modified LDL are serious candidates for triggering these pathological changes. The principal role is played by anti-Hsp60 antibodies and by shear stress originating on the surface of endothelium due to blood flow. The experimental and clinical data supporting this immunological hypothesis of atherosclerosis are discussed."}
+{"text": "This paper describes a PC based titrator which was developed for gradient flow titrations. Concentration gradients were generated electrolytically or volumetrically in small tubes. Complete titration curves can be recorded on-line and evaluated automatically. The titrator can be used with all liquid flow detectors with low axial dispersion. The titrator was evaluated for the titration of thiosulphate with electrogenerated triiodide and for the titration of ammonia with electrogenerated hypobromite after continuous gas dialytic separation of ammonia from the sample solution."}
+{"text": "After surgery for hepatic injury as a result of blunt abdominal trauma from a motorcycleaccident, an external biliary fistula developed in a young patient. The authorsdescribe the rapid and complete healing of the fistula by use of a nasobiliary catheter.These findings emphasize the importance of endoscopic operative technique for postoperativeand traumatic external biliary fistulas."}
+{"text": "Endothelial cells play an important, active role in the onset and regulation of inflammatory and immune reactions. Through the production of chemokines they attract leukocytes and activate their adhesive receptors. This leads to the anchorage of leukocytes to the adhesive molecules expressed on the endothelial surface. Leukocyte adhesion to endothelial cells is frequently followed by their extravasation. The mechanisms which regulate the passage of leukocytes through endothelial clefts remain to be clarified. Many indirect data suggest that leukocytes might transfer signals to endothelial cells both through the release of active agents and adhesion to the endothelial cell surface. Adhesive molecules (such as PECAM) on the endothelial cell surface might also \u2018direct\u2019 leukocytes through the intercellular junction by haptotaxis. The information available on the molecular structure and functional properties of endothelial chemokines, adhesive molecules or junction organization is still fragmentary. Further work is needed to clarify how they interplay in regulating leukocyte infiltration into tissues."}
+{"text": "The possibility of detecting pre-clinical ovarian carcinoma by ovarian cytology taken at the time of laparotomy has been studied in 472 patients. Malignant cells have been recovered from ovarian carcinomas but never from macroscopically normal ovaries. It is suggested that this simple, inexpensive technique of sampling cells from the ovarian surface should be continued to be practised on all occasions at which ovaries present such as at laparotomy or at laparoscopy, as with further experience this technique may prove to be of help in the early diagnosis of ovarian carcinoma."}
+{"text": "Histological sections of the primary tumour and of homolateral axillary lymph nodes from 500 women with operable invasive breast cancer have been examined. The tumours have been graded and the degree of round cell infiltration assessed. These features, together with clinical palpability and pathological involvement of axillary nodes, have been related to survival.It was found that prognosis was worse in patients with a high grade tumour and in those with histological evidence of axillary node spread. Round cell infiltration of the primary tumour did not confer improved survival.The clinical state of the axillary nodes was associated with prognosis in so far that palpable nodes were twice as commonly the seat of metastatic spread as were impalpable nodes."}
+{"text": "A squamous cell carcinoma of spontaneous orgin in a WHT/Ht mouse was used to study the frequency with which the regional axillary lymph nodes draining subcutaneous or intradermal tumours gave rise to tumours after their isogeneic transplantation as whole nodes. This frequency (similar to 40%) was found not to vary significantly with the size or duration of the tumour drained and not to be increased by coincident infective, traumatic or antigenic stimuli acting at the tumour site or in adjacent tissue. Because tumour growth occurred in only 2/55 (4%) nodes which were left in situ in mice whose tumours were radically excised, it was concluded that tumour forming node transplants reflected a small and limited content (estimated to be about 13) of transnodally passing tumour cells destined to pass on to the blood; separate experiments showed that tumour cells reaching the blood survived for only a few hours. Nodes from tumour-excised mice gave rise to tumours as frequently when autografted as when isografted to mice with no previous expose to the tumour. A review of the finding reported here and of previous quantitative data for this system enabled us to exclude any implication of anti-tumour immunity from our interpretation of the results of the experiments."}
+{"text": "Induction programme for trainee doctors in the UK generally do not focus on the surgical aspects of their jobs. In this context we decided to conduct a telephonic survey among the hospitals belonging to three orthopaedic training regions in the UK from the point of view of the diversity of instrumentations and implants used for index procedures.We chose four index trauma & orthopaedic procedures . A telephonic survey was done in six NHS trust hospitals which were part of an orthopaedic training rotation . In total there were 39 different instrumentation systems for these 4 index procedures in the 6 trusts (see table In view of this we feel that more focused theatre based induction programmes for higher surgical trainees is advocated in each hospital trust so trainees can familiarise themselves with the tools available to them. This could include discussion with the consultants and senior theatre staff along with representatives from the companies supplying the implants and instrumentation systems. Hospital induction programmes are a standard part of the commencement of new posts for junior doctors . It has To emphasise the scale of this problem a telephonic survey was done in six NHS trust hospitals which were part of an orthopaedic training rotation . In our survey we used 4 index operations commonly performed in all hospitals with a trauma and orthopaedic intake. For each trust we contacted (by telephone) the theatre manager to identify the instrumentation and implant systems used for total hip replacement (THR), total knee replacement (TKR), and fixation of tibial or femoral fractures with either intra-medullary nailing or external fixation.In total there were 39 different instrumentation systems for these 4 index procedures in the 6 trusts (see table This representative survey we conducted shows no uniformity in the orthopaedic instrumentation used between the different regions. This is hardly surprising as currently there is a vast array of instrumentation systems available in the market for use in orthopaedic surgery. Considering that this data only represents 4 particular index operative procedures the actual amount of different implants and instrumentation systems for each trust is likely to be significantly higher.We recommend mandatory theatre induction as a part of the specialist registrars' departmental induction programme. This could include discussion with the consultants and senior theatre staff along with representatives from the companies supplying the implants and instrumentation systems. Ideally it would include practical/video demonstrations of the commonest systems used, as well as a booklet for each trainee containing the operative technique for the instrumentation systems.The authors declare that they have no competing interests.AJSK designed the survey and wrote the article, JO and SKSW conducted the survey and the literature search, SP revised the manuscript and gave final approval for publication"}
+{"text": "The effect of varying the numbers of weekly applications of DMBA to the dorsal skin of intact and castrate male and female rats on the induction of basal and squamous celled epitheliomas and of sarcomas has been investigated.Basal celled tumours originate mainly in hair follicles and squamous celled neoplasms in the interfollicular regions of the epidermis and differ in their progression to malignancy. Penetration of the panniculus carnosus is neither a sufficient nor necessary criterion of malignancy since growing hair follicles pass through the muscle layer and carcinomas and sarcomas which are still confined to the dermis, spread along the perineural lymphatics and metastasise to the lungs.Sex and castration do not affect carcinogenesis of epitheliomas in the dorsal skin at any dose level. Significantly more sarcomas result from 20 weekly paintings in male than in female or castrate rats.The induction period for all tumour types is shortened in sensitive individuals only by an increase from 5 to 10 weekly applications. For less sensitive animals the rate of oncogenesis is accelerated with number of administrations up to 20, but slowed down from this level by 40 paintings. The optimal dose for speed of induction of all tumour types, for maximal yield of basal celled epitheliomas and for that of sarcomas in male rats is 20 weekly applications.The progression to malignancy varies with tumour type: it is fast for sarcomas and slow for basal celled neoplasms. Of the 336 rats at risk only 1% have fibromas or other precursor lesions, while 40% have sarcomas; animals with squamous celled papillomas account for 12%, but those with carcinomas for 66%; there are, however, 64% of rats with basal celled papillomas and only 9% with carcinomas.The optimal dose phenomenon in carcinogenesis is discussed."}
+{"text": "An in vitro agar colony technique has been developed for the growth of tumour cells taken directly from human tumours grown in immune-suppressed mice. The novel feature of the technique is the addition of a replenishable liquid phase which permits the maintenance of relatively slowly growing cells. A number of different xenografted tumours have been cultured successfully in this system, with red blood cells added to the agar and using 5% O2 in the gas phase. The technique has been used to assay cell survival in tumours treated in vivo with cytotoxic agents, and examples are given of survival curves obtained from a pancreatic tumours irradiated with gamma-rays and a colonic tumour from mice treated with cyclophosphamide. The results obtained by this in vitro method are in agreement with those from the agar diffusion chamber technique. This culture method has also been successfully used for the growth of cells taken directly from human tumour biopsy samples obtained in the clinic."}
+{"text": "In drinking water supplies the intake of the toxic heavy metal lead is commonly due to metal corrosion in the peripheral water distribution system, especially the user\u2019s plumbing or lead service lines. Recently, the problem again received attention in the United States when testing data of drinking water at schools was published . In EuroLead exposure from drinking water has been a topic of public health prevention programs in several parts of Germany before, for example, Hamburg and FranA moderately higher percentage of households with elevated composite water samples was found in the geographic area of the city of Berlin using two composite water sampling methods can have a substantial effect in elevating lead . Flushin"}
+{"text": "A crisis exists in medical education. Changes in methodology have diverted attention from synthesisto mass accumulation of factual data. The response to this crisis has been largely focused on a shellgame involving new pathways and curriculum changes without addressing the critical issue of whatconstitutes education. The ultimate problem in medical education is a crisis of leadership. Untileducation is given a priority status and the obligations to teach on the part of medical educators andto learn on the part of students are translated into a creative policy by those who can lead, the wheelsof learning will continue to spin without significant progress."}
+{"text": "The early changes induced by a carcinogenic nitrosoquinoline compound (NTDQ) have been studied in the subcutaneous tissues of 88 rats. An initial acute infiammatory response is quickly replaced by a distinctive granuloma which is established by 10 days and persists indefinitely\u2014a sequence which takes place both in adult and in newborn animals. Its main components\u2014histiocytes, multinucleate giant cells and granulation tissue\u2014are described in detail and the formation of giant cells by fusion from adjacent histiocytes has been traced. Autoradiographic studies with tritiated thymidine show heavy nuclear labelling in the histiocytes and fibroblasts during the first 10 days; this later declines but raised levels of nuclear labelling persist up to the end of the experiment. No proliferative activity is seen in the giant cells and these cells show only feeble phagocytic activity, tested by their ability to take up carbon particles. The experiments in which colloidal carbon was injected locally also provided some information on the lymphatic vessels in the vicinity of NTDQ-induced granulomata. It appears that, initially, the lesions contain large dilated lymphatic vessels. Later, a dense connective tissue barrier develops and lymphatic connections with the surrounding dermis are progressively reduced.The properties of granulomata induced by NTDQ are discussed and some possible relationships between the formation of granulomata and eventual tumour developed are considered. Particular emphasis is given to two related features: the sustained proliferative activity of the fibroblasts and the resulting semi-isolation of the injection site lesion by the formation of a dense connective tissue barrier."}
+{"text": "Fluorescence probes for the active centre of an enzyme associated with tumour cells have been used to locate leukaemia cells in a model rat system. These fluorescent techniques are inexpensive and rapid to carry out. The leukaemic cells can be located by fluorescence microscopy in frozen sections, wax embedded sections and resin embedded sections. The technique is illustrated with reference to sections of leukaemic rat kidney, epididymis and testis. These studies confirm earlier histological findings employing conventional staining techniques and have the advantage that individual leukaemia cells can be detected in leukaemic animals undergoing drug therapy. The evidence suggests that these techniques will be of value in further studies of the design of drugs directed to leukaemia cells."}
+{"text": "Cell survival was investigated in an intraocular retinoblastoma-like tumour 30 min to 48 h after photodynamic therapy. The survival of the cells was assessed by an in vivo to in vitro colony forming assay, estimated by either the plating efficiency of the treated tumour cells compared to non-treated cells or the number of clonogenic cells per mg excised tumour. Curves showing cell survival as a function of the time between light irradiation and excision of the intraocular tumours were biphasic. This suggests more than one PDT tissue destruction mechanism in vivo (i.e. an early direct cell damage plus a subsequent late damage occurring in the tumour tissue left in situ after treatment). The delayed mechanism may be due to changes in the environment of the tumours probably caused by vascular damage. Tumour cells sensitised by Photofrin II in vivo and excised from the eyes were damaged by light when irradiated in vitro and this was dependent on the light energy dose. This showed that cellular Photofrin II uptake in the eye tumours was sufficient for direct cell damage and thus supports the suggestion that direct and indirect tumour destruction occurs in this eye tumour after photodynamic therapy."}
+{"text": "The serum concentrations of the radiosensitizer metronidazole have been determined in mice for both oral and intraperitoneal doses of the drug and these have been related to radiosensitization studies in murine tumour systems. In preliminary work before a possible clinical trail the serum metronidazole concentration/time curves have been determined in 7 patients using single doses of metronidazole of up to 15 g. The data suggest that a linear relationship exists between the metronidazole dose expressed in mg/kg and the peak serum concentration. The possibility of achieving radiosensitization of tumours in patients after tolerable doses of metronidazole is discussed in relation to enhancement ratios determined for in vitro and in vivo systems. It is concluded that predictions from in vitro systems give values that are probably too optimistic."}
+{"text": "The alkylamines and their related boron derivatives demonstrated potentcytotoxicity against the growth of murine and human tissue culturedcells. These agents did not necessarily require the boron atom topossess potent cytotoxic action in certain tumor lines. Their abilityto suppress tumor cell growth was based on their inhibition of DNA andprotein syntheses. DNA synthesis was reduced because purine synthesiswas blocked at the enzyme site of IMP dehydrogenase by the agents. Inaddition ribonucleotide reductase and nucleoside kinase activities werereduced by the agents which would account for the reduced d[NTP] pools.The DNA template or molecule may be a target of the drugs with regard tobinding of the drug to nucleoside bases or intercalaction of the drugbetween DNA base pairs. Only some Of the agents caused DNAfragmentation with reduced DNA viscosity. These effects wouldcontribute to overall cell death afforded by the agents."}
+{"text": "Resistance to FCE 24517 is not related to the emergence of any of the most frequently observed phenotypes. We have found that two resistant cell lines (L1210/24517 murine leukaemia and LoVo/24517 human colon adenocarcinoma) present congenital modifications in tyrosyl phosphatase and kinase activities. Moreover, the cytotoxic activity of FCE 24517 is increased in combination with a tyrosine phosphatase inhibitor and decreased in combination with protein kinase inhibitors, this being in agreement with the hypothesis that the activity of this drug is strictly dependent on the presence of tyrosine phosphorylated protein(s)."}
+{"text": "Laboratory robotics has been firmly established in many non-QClaboratories as a valuable tool for automating pharmaceuticaldosage form analysis. Often a single project or product line is usedto justify an initial robot purchase thus introducing robotics to thelaboratory for the first time. However, to gain widespread acceptancewithin the laboratory and to justify further investment in robotics,existing robots must be used to develop analyses for existing manualmethods as well as new projects beyond the scope off the originalpurchase justification. The Automation Development Group inAnalytical Research and Development is a team of analystsprimarily devoted to developing new methods and adapting existingmethods for the robot. This team approach developed the expertiseand synergy necessary to significantly expand the contribution ofrobotics to automation in the authors' laboratory."}
+{"text": "Data from the Los Angeles County Cancer Surveillance Program (CSP) from 1972 to 1975 were used to study the descriptive epidemiology of testicular cancer and prostatic cancer. The very high black/white ratio and late age peak of cancer of the prostate contrasted sharply with the very low ratio and early age peak of testicular cancer. However, both sites had higher rates among upper occupational and social class groupings. Avalable descriptive and analytical research suggests that the etiology of prostatic cancer is most probably related to hormonal influences rather than to a horizontally transmitted agent, while the etiology of testicular cancer is most probably related to endogenous or exogenous hormonal influences in utero or in infancy, or to in utero exposure to other exogenous agents."}
+{"text": "Similar animals were also treated with local hyperthermia . The marked increase in median survival time following the combination of drug and local hyperthermia indicates that the combined treatment has a synergistic effect in the control of solid tumours. The median survival time of animals receiving the two treatments in immediate succession was higher than in animals with 30 min between treatments. This has important implications for the therapy of human cancer."}
+{"text": "The author discusses the implications of a new study that used data from The Netherlands to simulate the annual and lifetime medical costs attributable to obesity. PLoS Medicine, Pieter van Baal and colleagues used data from The Netherlands to simulate the annual and lifetime medical costs attributable to obesity . Governments need to understand that public-health policies affect more than merely the sum of individual health, and sadly require greater courage to implement than does treating the sick."}
+{"text": "The potential of plants to replace fossil oil was evaluated by considering the scale of production required, the area of land needed and the types of plants available. High yielding crops (50 tonnes/ha) that have a high conversion efficiency (75%) would require a global land footprint of around 100 million ha to replace current (2008) oil consumption. Lower yielding or less convertible plants would require a larger land footprint. Domestication of new species as dedicated energy crops may be necessary. A systematic analysis of higher plants and their current and potential uses is presented. Plant biotechnology provides tools to improve the prospects of replacing oil with plant-derived biomass by increasing the amount of biomass produced per unit area of land and improving the composition of the biomass to increase the efficiency of conversion to biofuel and biomaterials. Options for the production of high value coproducts and the expression of processing aids such as enzymes in the plant may add further value to plants as bioenergy resources. Biomaterials and bioenergy have long been produced from plants. The development of oil from fossil fuel replaced many of these traditional uses during the twentieth century. The prospect of oil supplies being exhausted and concern about the impact on the atmosphere of adding the carbon in fossil fuels have resulted in renewed interest in the use of plants as direct sources of bioenergy and biomaterials .Humans domesticated plants more than 10 000 years ago largely for food . Use of The first generation of biofuel production has been based upon the conversion of the storage carbohydrates (sugars and starch) in the plants into fuel . Oil froA major question we need to ask is how much land do we need to grow plants to replace oil. The global consumption of oil in 2008 was around 3930 million tonnes. The area of land required can be calculated if we assume different levels of efficiency in converting plant biomass to biofuel at any given yield of biomass per hectare. The next question we need to address is what species of plants do we have with yields that would allow production on a reasonable land footprint. The yields of crops used as biomass sources need to be achievable on a sustainable basis with minimal energy inputs for crop production including cultivation, planting, nutrient production and application, harvesting and transport. This requirement limits the choice of crop species and production environments.Panicum virgatum) has been widely evaluated as an energy crop option are C4 plant with high yield potential. Sugarcane and related species are probably the grasses with the highest yield potential identified to date. Sugarcane has potential to yield in excess of 100 tonnes dry matter/ha/year . Switchgrass conservation. The amount of arable land in the world has been estimated at more than 4000 Mha. The amount of land available by continent is given in Discovery of the best options for use as energy crops in specific environments requires an analysis of available species and their suitability in available production environments. A systematic analysis of plant options for food, energy, conservation and other uses should include all plant species. Those that do not have a current specific human use may have one in the future and all species contribute to biodiversity. Selection of new plants for energy production or even diversified food production requires a systematic analysis of the available options. Many of the species currently being promoted for use as energy crops have not been a product of such analysis and are in many cases not good options. For example, many oil-producing species are promoted because of the ease of using the oil produced in the plant with minimal processing. However, the environmental cost (land and water requirements) of growing these species will often not compete with many other species with much greater potential for biomass production. Application of appropriate selection criteria should focus attention on species with good potential for sustainable production. Following are some general criteria for use high suitability for genetic improvementhigh biomass accumulationhigh harvest indexhigh fraction of biofuel in harvested biomassnutrients partition to nonharvested partsbeing able to be grown on marginal landsharvested material able to be stored in the fieldhigh bulk densityhigh water use efficiencyhigh N use efficiencylow potential as a weedhigh coproduct potentialoptimal biomass compositionlarge-scale potential productionlow cost of harvestBoth algae and seed plants are actively being investigated as potential energy crops. The growth of higher plants is a well-established process, and the risks and likely outcomes of research in this area are more predictable. However, research aiming to develop technology to grow algae on a large scale is more uncertain but may produce a highly efficient energy production system. Analysis of specific plant families is a useful level for systematic analysis of options for plants and their current and potential uses. All plants in a family will not have the same utility, but they often share common biochemical features that make the family a useful level for analysis. Modern DNA analysis methods have greatly improved the rigour and utility of higher plant taxonomy. The variation in the composition of plants in relation to their utility can now be analysed against this taxonomy. For example, the distribution of the major components of plant biomass, the major structural and nonstructural carbohydrates in these families, deserves re-evaluation. A good example of how plant taxonomy and biochemical composition relate is found in the plant families reported to contain fructans (polymers of fructose that serve as reserve carbohydrates). Current DNA-based systematic analysis suggests many other related families that should be examined for the presence of fructans. The presence of nonstructural carbohydrates in the form of fructans has implications for food use and for energy production from these species. The type of structural carbohydrate can also be very important in determining the utility for food, feed or energy. The monocotyledonous plant families in the commelinoid group (including the grasses and related families) have cell walls rich in arabinoxylans and mixed linkage \u03b2-glucans . These cMany plants have been developed as food crops, and this suggests that we may need to domesticate many species to produce the biomass required to replace oil. Plants adapted to a wide range of available production environments are needed. The grasses (Poaceae) represent a major option having been domesticated for food production; they will probably repay screening efforts aiming to discover potential bioenergy crops. Many more plant families are probably able to contribute to the development of woody bioenergy tree crops. Some limited new options for domestication of food plants could also be identified by systematic analysis.Plant biotechnology provides tools that may allow rapid development of domesticated genotypes with growth and composition characteristics optimized for energy production ."}
+{"text": "We use wavelet-type discrete transforms for signal analysis on strings of finite length.We apply these transforms for edge and hidden Markov process detection. We alsopresent new approaches for string matching and for measures of the diversity ofchaotic strings."}
+{"text": "Improvements in the performance of a laboratory computer systemdo not necessarily require the replacement of major portions of thesystem and may not require the acquisition of any hardware at all.Major bottlenecks may exist in the ways that the operating systemmanages its resources and the algorithm used for timesharingdecisions. Moreover, significant throughput improvements may beattainable by switching to a faster storage device if substantial diskactivity is performed. In this study the fractions of time used foreach of the types of tasks a laboratory computer system performs aredefined and measured. Methods for reducing the time fractions ofthe various types of overhead are evaluated by doing before and afterstudies. The combined results of the three studies indicated that a50% improvement could be gained through system tuning andfaster storage without replacement of the computer itself"}
+{"text": "The peripheral blood lymphocyte count has been measured in 74 cases of histologically proven carcinoma of the gastrointestinal tract. The count has been correlated with the pathological stage of tumour spread and the patient's delayed hypersensitivity response to 2.4 dinitrochlorobenzene (DNCB). A statistically significant correlation was found between the peripheral blood lymphocyte count and the response to DNCB. There was linear association between the extent of spread of the tumours and the lymphocyte count. Those patients with low peripheral blood lymphocyte counts tended to have more advanced tumours and a poor response to DNCB. The possible causes of this lymphopenia are discussed."}
+{"text": "Beilstein Journal of Organic Chemistry. The series now embeds the subject firmly as a special interest area of the journal. The first series in 2008 presented contributions representing a wide range of organic fluorine chemistry [It is a pleasure to be able to introduce this second Thematic Series on \u2018organo-fluorine chemistry\u2019 within the hemistry \u201310 and tThe introduction of fluorine remains an important specialism in organic chemistry for modulating the physical properties of molecules involved in programmes ranging from bioorganic chemistry to performance materials. Consequently fluorinated organics are of major commercial significance to the pharmaceuticals, agrochemicals, materials and polymer industries with the fluorine fine chemicals industry servicing these industrial sectors. New innovations and insights into the synthesis and the nature and behaviour of organo-fluorine compounds continue to intrigue and this Thematic Series offers a glimpse into the level of activity in the area.I am delighted that all of the authors have agreed to submit such high quality contributions to render this Thematic Series substantial and make it such a success.David O'HaganSt. Andrews, April 2010"}
+{"text": "Peter Stastny and Peter Lehmann's Alternatives beyond Psychiatry offers a comprehensive and up to date account of the alternatives to mainstream psychiatry that are being developed by service consumers and survivors across the world. As psychiatry moves into a new age less dominated by a biomedical paradigm many of the approaches described in this book may be adopted by mainstream health services. This is a hugely readable and accessible book for professionals and consumers alike. Paul Hammersley is the Programme Director for Post Graduate Studies in cognitive behavioural therapy for psychosis at Manchester University's COPE Initiative in The United Kingdom. He is also an active therapist specialising in CBT for individuals experiencing severe psychological problems following traumatic life events. He has been widely published and has lectured extensively. 2006 along with Professor Marius Romme from Holland and The UK Hearing Voices Network, he founded CASL (The Campaign for the Abolition of the Schizophrenia Label.)The author declares that they have no competing interests."}
+{"text": "Critical to the effective implementation of high throughput methods of synthesis is the necessity for a significant supporting level of automation. There are a number of critical issues associated with the successful introduction, and supporting role, of automation of small molecule chemical synthesis. Clearly there are needs for automation to increase drug candidate synthesis throughput. Automation of repetitive and laborious tasks associated with the synthesis process can release skilled chemists to apply their talents to the more challenging investigational aspects of developing new synthetic protocols. This provides continuity in the compound supply pipeline and ensures an optimal use of the automated platform for compound production. The very high fidelity of performing repetitive processes that can be managed through automation also removes some of the limitations and errors associated with more fallible human operators. This can include very difficult tasks associated with tracking data, and general information and inventory management. Taken collectively, these attributes associated with automation can lead to greater efficiencies, throughputs and improved allocation of human resources with concomitant reductions in costs associated with current day and future drug discovery. In our library development/synthesis paradigm, we feel that automation support must be invoked early in the process and that this automation support must continue throughout the project."}
+{"text": "Germinal centers (GC) are an essential part of the humoral immune response. They develop a clear structure during maturation: Centroblasts and centrocytes are separated into two zones, the dark and the light zone. The mechanisms leading to this specific morphology as well as the reason for zone-depletion during a later phase of the GC reaction have not clearly been revealed in experiment. We discuss and weigh possible mechanisms of dark and light zone development in the framework of two mathematical models. In a comparative approach we formulate constraints on typical lymphocyte velocities in GCs which are characteristic for the different proposed mechanisms."}
+{"text": "The evolution of metastatic colorectal cancer in patients who have had surgical treatment for a primary lesion was studied in relation the progressive changes in the blood levels of carcinembryonic antigen (CEA), to gamma glutamyl transpeptidase (GGT) and routine liver function tests (LFTs). Involvement of the liver could ofter be reliably predicted many weeks in advance of clinical diagnosis while metastases to other sites were less likely to be detected early by this test. The association of the extent of disease with the patterns of biochemical changes is discussed with reference to several illustrative examples."}
+{"text": "A study of granulocyte function in myeloblastic leukaemia is reported. Function was assessed by the ability of peripheral blood granulocytes to ingest and kill Candida albicans in bitro. Depressed cidal activity was observed in 11 patients with smouldering leukaemia and in 19 patients with acute myeloid leukaemia. Cidal activity was lowest in the untreated acute disease; this improved during cytoreduction therapy and was maintained when remission occurred. Leukaemic plasma depressed the function of control granulocytes; the possible role of a plasma \"factor\" is discussed."}
+{"text": "A fluorescence imaging system (Xillix LIFE \u2013 Lung Fluorescence Endoscopy system) usingfluorescence for the accurate diagnosis and early detection of lesions through an endosocopehas been developed. This system has applied an optical diagnostic technology to functionallydiagnose lesions which have been difficult to morphologically recognize or are occult withconventional endoscope. The benefit of this system in the diagnosis of lung cancer has alreadybeen confirmed in the US and Japan, and feasibility of the system in the gastric intestinal fieldhas also been evaluated."}
+{"text": "The expression of thymidine kinase--an enzyme of the DNA precursor pathway--is strictly regulated during the normal cellular cycle, but is much higher and permanently expressed in malignant growing cells. We used this fact to detect neoplastic cells in samples freshly taken from leukaemia patients and kept frozen in liquid nitrogen until analysis. Using a new cytofluorometric assay for thymidine kinase in single cells, we were able to identify leukaemic cells in a surplus of normal ones. Our results demonstrate the benefits of this assay for leukaemia diagnosis."}
+{"text": "Emerging infectious diseases and the growth of information technology have produced new demands and possibilities for disease surveillance and response. Increasing numbers of outbreak reports must be assessed rapidly so that control efforts can be initiated and unsubstantiated reports can be identified to protect countries from unnecessary economic damage. The World Health Organization has set up a process for timely outbreak verification to convert large amounts of data into accurate information for suitable action. We describe the context and processes of outbreak verification and information dissemination."}
+{"text": "One hundred and ninety-one adults with acute myelogenous leukaemia were treated with combination chemotherapy consisting of daunorubicin and cytosine arabinoside (Barts III). Sixty-three patients achieved remission and were admitted to one of 3 trials of active immunotherapy: immunotherapy alone, immunotherapy and maintenance chemotherapy or neither of these. All patients had weekly clinical and blood examination and monthly marrow examination. Reinduction chemotherapy was given as soon as relapse was diagnosed in the marrow. The most striking observation was that immunotherapy was associated with easy and repeated reinduction of remission and marked prolongation of survival after first relapse when compared with immunotherapy plus chemotherapy. The possible reasons for this and the value of immunotherapy are discussed in relation to the third trial still in progress which includes 2 maintenance arms, immunotherapy alone and surveillance only."}
+{"text": "Background: Impairments in oral word production are common at the onset of stroke. The identification of factors that predict early recovery has important implications for identifying those at greater risk of continued impaired functioning, and the management of the patient's care following discharge.Aims: To identify patterns of performance that are predictors of acute recovery of oral word production abilities following stroke;to identify any association between early and more chronic recovery.Method and procedures:Acute stroke patients were administered oral word production tasks within 1\u20132 days of hospitaladmission, with repeat testing by 7 days; a subset of patients had repeat testing between three weeks to one year later. Performancewas examined for error rate and type to identify potential predictors of early recovery.Outcome and results: The proportion of circumlocution and no response errors at initial testing were associated with the magnitudeof recovery of language functioning within the first week following stroke. Patient characteristics of age and gender were foundto have no influence on the degree of early recovery observed. None of the examined factors predicted late recovery. The degreeof early recovery was not associated with the degree of later recovery.Conclusions: The current study identified patterns of task performance that increase our understanding of how oral wordproduction recovers following acute stroke. The finding that the degree of early recovery does not predict the degree of laterrecovery is consistent with the hypothesis that early and late recovery are due to different mechanisms ."}
+{"text": "Epidemiological studies of active smokers have shown that the duration of smoking has a much greater effect on lung cancer risk than the amount smoked. This observation suggests that passive smoking might be much more harmful than would be predicted from measures of the level of exposure alone, as it is often of very long duration frequently beginning in early childhood. In this paper we have investigated this using a multistage model with five stages. The model is shown to provide an excellent fit to data on the incidence of lung cancer among smokers, ex-smokers and non-smokers in a cohort of male British doctors. Contrary to our expectation the model predicted only a slight increase in relative risk with increasing duration of passive exposure. Allowing for exposures early in life does not therefore explain the discrepancy between the relative risk of about 1.5 calculated from epidemiological studies of lung cancer and the low levels of exposure indicated by cotinine measurements in those passively exposed."}
+{"text": "In order to assess the importance of the intensity of administration of chemotherapy in the management of advanced germ cell tumours we have calculated indices of chemotherapy. These have been used to compare the treatment given to patients who subsequently relapsed with matched controls who did not relapse. Two of these indices are derived from the doses of drugs whose dose is varied . These indices showed significant variation between cases and controls. Indices gamma and delta are derived from drugs whose dose is not varied. They showed no significant differences between the two groups. These results emphasise the importance of ensuring that patients with these curable cancers receive adequate doses of chemotherapy."}
+{"text": "Orthopedics had become a separate specialty within whole field of medicine about 50 years ago.The demands of the orthopedist have increased tremendously during the last 30 years because of changes in the demographic profile of population, increase in life expectancy, rapid urbanization and increasing speed of mobility. In developed countries the burden of orthopedic disease is because of aging population and social emphasis on the welfare of elderly. In low income countries it is because of increasing population, rapid urbanization and using high speed vehicles with poor road safety and driving standards. The abysmal health and living standards continue propagation of infective conditions. The increased life expectancy has added aging population.The advances in medicine have largely been empirical. The intuition has guided development through trial and error. Science has explained what was observed by clinicians.2Most of the orthopedic surgeons repair deficiencies in musculoskeletal system by established surgical methods2Orthopedic practices till now were guided by the research conducted in the West since the disease profile was more or less the same. In the present times the disparity between disease profiles has widened. The affluent nations have better living standards and health infrastructure. As a result the infective diseases are practically eliminated and degenerative problems are in plenty. Most of the research direction and funding is towards their needs while the low income countries which have 2/3 of world population still see the natural history of disease. They see the continued pathogenesis of osteoarticular infection.The research includes a clinical research and basic science research. Not many clinical problems can be solved by clinical research alone.We must resolve that basic and clinical research are two sides of one coin; both inseparable. Both require similar commitment and both must be integrated in the same clinical setting. Basic research is largely being conducted by nonphysicians world wide with a gradual decline in orthopedic surgeons as researchers. Basic scientists bring skill to the research proposal but find it difficult to appreciate the clinical relevance. Sarmiento believed, and rightly so, that an orthopedic surgeon who is trained as a clinician-scientist and who understands the capabilities and limitations of the basic science approaches is a superior collaborator.The number of clinician scientists has taken a steep decline in the last 30 years in America and Europe in spite of the state of art research facilities and adequate funding.On the contrary, low income countries have not yet started thinking about region specific basic research. They have very little infrastructure for research. The attitude of health planners is to support patient care. The education and research is left to the interest of orthopedic clinicians. Hence all research in these countries is conducted by clinicians because of their love towards research. The end result is that there is a very little contribution from these countries to the pool of knowledge. Even society does not recognize the researchers, while clinicians are recognized well. The low income countries should devote resources and part of health budget towards need based research. This has to be realized by teachers, orthopedic associations (whether of countries or region) and government health planners.Training programs on research methodology should be arranged. We should equip young clinicians with the skills to understand and appreciate the musculoskeletal biology and perhaps conduct serious research on locally relevant issues.7Low income countries have high income countries as an example. The progress in the field of research in orthopedics, the obstacles faced and solutions suggested by them are available. We should ensure credible research programs keeping all these lacunae and matching limited research facilities and heavy disease burden in mind. We should attract the best students in orthopedics for research by providing a structured research curriculum, appropriate funding and reward good outcome and support financial loss which they occurred by not practicing orthopedic surgery.8Indian Journal of Orthopaedics is making a step in this direction. We have three invited write ups in the Perspectives section from well established clinician-scientists from USA, South Africa and India to give their opinion on the (a) need and scope of basic research (b) prospects of basic research in their countries and (c) infrastructure needed for basic research. This is an attempt to sensitize the orthopedic community and Government in this direction."}
+{"text": "Recent reviews of the management of hilar biliary cancer suggest that radical resection is the preferredtreatment option. It seems true that most of the long term survivors are treated this way, but it is equallytrue that most patients receive palliative rather than curative treatment. Before we go too far in ouradvocacy of radical treatment, we need to develop methods for quantifying palliation because that is intruth what we usually achieve. A method of quantifying palliation is described. Surgeons are encouragedto use methods of this kind in order to allow valid comparison of the results of different methods oftreatment."}
+{"text": "It has been reported that decreased numbers of dendritic cells (DCs) are correlated with poor prognosis in some types of malignancy, such as gastric cancer. However, factors that determine the density of DCs have not been characterized. It was recently reported that vascular endothelial growth factor (VEGF) inhibits the functional maturation of DCs from CD34+ precursors. In this study, we analysed the relationship between the expression of VEGF and the density of DCs in gastric carcinoma tissues by immunohistochemical staining. The extent of infiltration by DCs was graded from marked to slight on the basis of the mean densities of DCs. The prognosis of patients with marked infiltration was significantly better than that of patients with slight infiltration among patients who had undergone curative resection. Multivariate analysis showed that infiltration by DCs was an independent prognostic indicator. Furthermore, there was an inverse correlation between the density of DCs and the expression of VEGF Our results suggest that expression of VEGF might be associated with tumour progression and poor prognosis not only because VEGF stimulates angiogenesis, but also because it allows tumours to escape from attack by the immune system in patients with gastric carcinoma."}
+{"text": "The elevated levels of ras-related cellular RNA in a series of colorectal carcinomata (n = 12) was correlated with conventional staging criteria (tumour morphology and Dukes' staging) and with clinical outcome with particular reference to the development of metastatic disease. No direct relationship was evident between these parameters suggesting that although abnormal expression of ras oncogenes may be critical in the development of malignancy, variations in the level of their expression do not appear to be directly related to clinically evident phenotypic differences."}
+{"text": "Metastases to axillary lymph nodes is an important factor in predicting prognosis and survival in primary operable carcinoma of the breast. A series of post mastectomy lymph nodes (150 cases) was selected in this retrospective study, in which the initial diagnosis had been no metastases by light microscopy and in which a long follow-up was available (average 10 years). The original H&E sections from these cases were immunostained to detect metastases which might not have been previously appreciated. The study was performed using a cocktail of 5 monoclonal antibodies directed against epithelial antigens. The object was to explore the possibility of detection of occult micrometastases by immunohistochemistry and to evaluate their prognostic significance. Micrometastases with individual cells and cell clusters were readily detected by this technique in 14% of all cases. It also became apparent towards the end of the study that micrometastases could be detected with equal sensitivity by any one of the 5 monoclonal antibodies. Positive staining of malignant cells was found to be more frequent in invasive lobular carcinoma (ILC) than in invasive ductal carcinoma (IDC). However, for the IDC group a striking association was found between micrometastases and both recurrence and survival rate. The ILC sample was considered too small for meaningful interpretation. We recommend the use of immunohistochemical techniques using monoclonal antibodies for the detection of occult metastases in lymph nodes to improve the prediction of recurrence and survival in invasive ductal carcinoma of the breast."}
+{"text": "EHP 116:1071\u20131076; Akre et al.][.Hypospadias is a male birth defect in which the opening of the urethra is located on the underside of the penis instead of the tip. Although the defect is common and increasing in prevalence , the causes of most cases are unknown. Some studies suggest that reduced levels of the placental hormone human chorionic gonadotropin (hCG) may play a role; others suggest associations between hypospadias and conditions such as low birth weight, preterm birth, and preeclampsia that could be caused by malfunction of the placenta and subsequent abnormalities in hormone regulation and nutrition provided to the fetus . A new study now presents additional evidence that hypospadias has its origins in malfunction of the placenta Data on 292 cases of hypospadias and 427 controls were collected as part of a joint Danish\u2013Swedish study of both hypospadias and cryptorchidism (undescended testes). In Sweden, hypospadias cases were recruited at a pediatric surgery clinic, and data were collected via self-administered questionnaires. In Denmark, cases were from the Danish National Birth Cohort, a population-based cohort of women and children. Mothers were interviewed while pregnant and twice after delivery. Matched controls were born within at least 6 months of each case and within the same county, and were randomly selected from national birth and population registries.The investigators found several conditions independently associated with increased hypospadias risk, most of which they say could be explained by impaired production of hormones by the placenta. Mothers without first-trimester nausea were twice as likely to bear sons with hypospadias, as were mothers who had a prepregnancy body mass index of 30 or greater. These findings support the theory that placental insufficiency contributes to hypospadias. Nausea is believed to be caused by an early surge of pregnancy hormones, and the absence of first-trimester nausea is associated with low hCG levels. A previous study showed that obese women have lower levels of a family of proteins called plasminogen activator inhibitors, some of which are derived from the placenta.The team also determined that a maternal diet lacking both fish and meat was associated with more than a fourfold increased risk of hypospadias in baby boys. This finding complements a 2000 study by other authors that showed a strong positive association between maternal vegetarian diet and hypospadias in offspring. The authors of the current study conclude that exclusion of animal proteins could increase the risk of a transient deficiency of some nutrient that\u2019s essential for formation of the organs or the placenta. Another explanation is that some protein sources in vegetarians\u2019 diets (such as soybeans) contain compounds with hormonal effects that may affect the development of the urogenital organs in humans."}
+{"text": "Therapeutic response in patients with advanced breast cancer is conventionally assessed with reference to criteria devised by the International Union Against Cancer. Evidence to date suggests, however, that assessments of equivalent quality may be obtained at lower cost from the use of serum markers. The paper presents estimates of potential cost savings resulting from the use of serum markers in place of conventional assessment and argues that the size of these savings merits the establishment of a randomised controlled trial."}
+{"text": "The cellular content of receptors for epidermal growth factor (EGF) was measured in different histological subgroups of human mammary carcinomas. EGF receptors were detected in 36% of the ductal and all the medullary carcinomas. In contrast lobular and pure colloid tumours did not contain measurable amounts of the receptor. The receptor was found both among tumours with an euploid and aneuploid DNA pattern. The EGF receptor is thus found in carcinomas with a varying degree of differentiation as judged by the cellular DNA pattern. There was no correlation between the proliferative activity of the tumours as measured by thymidinekinase activity and the amount of EGF receptors in the tumour. Tumours with detectable EGF receptor often had low levels of oestrogen receptor. This finding could only partly be explained by the menstrual status of the patients."}
+{"text": "Electron spin resonance studies have been made of caeruloplasmin and iron transferrin levels in whole blood of healthy controls and patients with a variety of malignant conditions receiving various forms of treatment. A small difference was found in caeruloplasmin level between normal males and females, although normal females receiving contraceptive steroids had an elevated level. No difference was found in iron transferrin level. Various conditions increased the caeruloplasmin and some also decreased the iron transferrin level in patients with malignant disease. These included surgery and the approach of a terminal phase of disease. Once allowance for these factors was made, the remaining small differences in Cu and Fe between patients with either squamous cell carcinoma or breast cancer and controls appeared to have no clinical significance."}
+{"text": "Thymectomy effectively prevents the development of spontaneous lymphoma in the AKR but how this effect is achieved remains to be determined. One possible mechanism, namely suppression of genomic expression of the oncogenic murine leukaemia virus now seems unlikely since levels of the group specific MuLV antigen were in comparision with their sham operated controls unaltered in both neonatally and adult thymectomized AKR."}
+{"text": "The important paradigm shift for asthma care that focuses on clinical control has revolutionized the understanding of the disease and its optimal pharmacological care. UnfortunThe February 2010 new release from the U. S. Food and Drug Administration (FDA) requires new safety measures and warnings for the use of inhaled long-acting beta agonists (LABAs) in asthma control .[2] SuchCertainly, this new FDA safety release on the use of LABAs will create some confusion among asthma care workers, patients and related drug companies. However, the bright side of such warnings is that it will for sure reinforce the tendency of asthma care workers to revisit the stepwise (whether up or down) approach of pharmacotherapy recommended by most recent national and international asthma guidelines.\u20136 The maSome of these FDA warnings for LABA inhalers can be considered as fine-tuning and reinforcement of the already comparable recommendations stated in most recent asthma guidelines.\u20136The use of LABAs as monotherapy and as a reliever medication is strongly discouraged because of potential health hazards.LABAs may be used in combination with ICs in the stepping up of treatment for the long-term management of only such asthma that is uncontrolled by controller medications.Patients should be maintained on an asthma controller medication once asthma control is achieved.A combination product of ICs and LABAs should be used only to ensure compliance with both medications.Surprisingly, among these FDA warnings, the new recommendations are to shorten the period of use of LABAs even if in combination with ICs and to discontinue its use, if possible, once asthma control is achieved. These new advices are somewhat welcome as true phenomena of stepping-down in the treatment of well-controlled asthma.These recommendations might open the gate for the use of other alternative controller agents that can optimize asthma control. They have also stressed the implementation of non-pharmacological measures for achieving the control of asthma. These include the identification and avoidance of triggering and exacerbating factors to minimize the overall use of any unnecessary pharmacological agents in order to avoid their potential future hazards for health. These meFurthermore, I would also like to take these warnings to share a personal view about similar safety requirements that may be needed for the solo use of short-acting beta agonists (SABAs), which is recommended in asthma guidelines as reliever inhalers.\u20136 Such cIn conclusion, this new FDA safety release on the warnings for the use of inhaled LABAs is very well saluted. It will motivate the asthma care workers to revisit the stepwise pharmacotherapy approach recommended by most current asthma guidelines. It recommends the use of LABAs to be limited to the combination with ICs for cases with uncontrolled asthma and to be administered for the shortest possible duration. The solo use of LABAs might soon become history in the management of asthma. Extension of similar cautions for solo use of SABAs is a personal vision that will be challenged further by benefit/ risk profile in future clinical investigations."}
+{"text": "Dear Editor,et al.[I read with interest the brief report by Parija et al. and apprThe clinical presentation was suggestive of raised intracranial pressure, with the diagnostic workup pointing to cerebral venous thrombosis (CVT). CVT is a relatively common presentation of polycythemia vera. When we This report highlights the diagnosis of an uncommon hematological condition which primarily presented to an ophthalmologist. CVT is often under diagnosed even by neurologists. It should be remembered that almost 40% of CVT patients present with signs and symptoms suggestive of isolated intracranial.4 A thoroVisual loss in CVT maybe due to thrombotic ischemia of any structure of the visual pathway or due to pressure on the optic nerve due to the transmitted raised intracranial pressure (ICP). All cases of CVT with visual loss require visual field analysis and measurement of optic nerve sheath diameter using B-scan ultrasonography (USG). Visual loss in patients with CVT due to transmitted raised ICP (indicated by increased optic nerve sheath diameter on USG) not amenable to medical management is an indication for optic nerve sheath decompression (ONSD). ONSD as a treatment option for the visual loss in the left eye should have been offered to the patient in this case, as it has been shown to be effective even in the presence of optic disc pallor.5 Moreove"}
+{"text": "Many marine coastal ecosystems are threatened by increasing waste discharge, and bioassays are needed because chemical and physical tests alone are not sufficient to assess potential effects on aquatic biota. In light of the fact that larval metamorphosis of benthic invertebrates is usually very sensitive to environmental changes, this paper reviews sensitivity comparisons of larval metamorphosis with other common bioassays in different species and those in different developmental stages of the same species, and it discusses the potential use of larval metamorphosis as an indicator of marine environmental quality."}
+{"text": "An analysis of past and present Australian legislation for managing and regulating contaminated sites confirms that such legislation must deal with a number of specific matters.Australian legislation is effective in some of these areas but poor in relation to others. The analysis will assist other countries and jurisdictions to create effective legislation more speedily by avoiding identified problems."}
+{"text": "The American College of Surgeon\u2019s Coalition for Quality in Geriatric Surgery will formally launch a national initiative aimed to improve the quality of surgical care for all older adults in July 2019. The first-year goal will be to recruit and successfully verify 100+ medical centers. This presentation will provide an overview of dissemination efforts for the standards set for providing high quality surgical care for older adults as well as processes to measure the quality of care provided to older adults at these medical centers. It our vision that this national initiative will lead the effort to the improvement of surgical care of all older adults."}
+{"text": "There are errors in the Funding statement. The correct Funding statement is as follows: The current study is funded by Iran National Science Foundation with grant ID 940007 and 95824986 to Sima Rafati. Also Farnaz Zahedifard received funding from Pasteur Institute of Iran as part of her Ph.D studentship. She also got Calmette and Yersin training scholarship from RIIP foundation from Institut Pasteur International Network for her training period in South Korea. The founders had no role in study design, data collection and analysis, decision to publish or preparation of the manuscript."}
+{"text": "The authors noticed that the cartoons in Both the HTML and PDF versions of the article have been corrected. These errors appear only in print and PDF versions downloaded on or before August 21, 2018."}
+{"text": "Alzheimer\u2019s disease (AD) and temporal lobe epilepsy (TLE) are the most common forms of neurodegenerative disorders characterized by the loss of cells and progressive irreversible alteration of cognitive functions, such as attention and memory. AD may be an important cause of epilepsy in the elderly. Early diagnosis of diseases is very important for their successful treatment. Many efforts have been done for defining new biomarkers of these diseases. Significant advances have been made in the searching of some AD and TLE reliable biomarkers, including cerebrospinal fluid and plasma measurements and glucose positron emission tomography. However, there is a great need for the biomarkers that would reflect changes of brain activity within few milliseconds to obtain information about cognitive disturbances. Successful early detection of AD and TLE requires specific biomarkers capable of distinguishing individuals with the progressing disease from ones with other pathologies that affect cognition. In this article, we review recent evidence suggesting that magnetoencephalographic recordings and coherent analysis coupled with behavioral evaluation can be a promising approach to an early detection of AD and TLE.Highlights\u2013Data reviewed include the results of clinical and experimental studies.\u2013Theta and gamma rhythms are disturbed in epilepsy and AD.\u2013Common and different behavioral and oscillatory features of pathologies are compared.\u2013Coherent analysis can be useful for an early diagnostics of diseases. It is known that theta and gamma oscillations are closely related to cognitive processes. The theta rhythm (4\u201312 Hz) is prominent oscillations recorded in the hippocampus and surrounding limbic structures during exploration and REM sleep or \u201cnested\u201d oscillations evoked a firing of hippocampal neurons, which reflects an integrated representation of spatial and temporal information during the performance of cognitive tasks complex of rats and guinea pigs revealed that normally theta oscillations were relatively synchronous in these brain regions compared to healthy control was revealed , an impairment of cross-frequency gamma amplitude modulation by hippocampal theta rhythm was observed suggests that these diseases have some common properties and, probably, at least partially similar mechanisms of their development.The potential relation between TLE and AD has been supported by experimental and clinical data. Thus, aging is a common and well-established risk factor for epilepsy and AD (Armon et al., Many clinical evidence indicates an increased comorbidity of seizure pathology in AD: it is becoming clear that AD is associated with neuronal hyperexcitability as well as network hypersynchronicity, which is the main reasons of epilepsy development (Eichler and Meier, At the same time, neurodegenerative processes peculiar to dementia can play a central role in the development of epilepsy in the patients predisposed to cognitive deficit. Adult-onset epilepsy of unknown cause could thus represent a risk factor for the ongoing neurodegenerative damage, even when epileptic manifestations and clinically recognized dementia are separated by long time (Cretin et al., The facts of cognitive impairment in animals with epileptiform activity were derived from different studies devoted to the role of the tau peptide (Roberson et al., In the hippocampus, one of the main foci of cell death in TLE and AD brains, the network hypersynchronicity and epileptiform activity can be the result of formation of extensive aberrant neuronal connections. This aberrant remodeling was revealed in epileptic rats and in APP transgenic mice (Harris et al., It is known that the main problem in diagnosis of neurodegenerative diseases is the detection of neuronal abnormalities at early stages of their development. At present significant achievements have been made in the development of methods for the detection of some biomarkers of AD and TLE, including cerebrospinal fluid and plasma measurements and glucose positron emission tomography (Shiihara et al., At present, the methods for detection of theta\u2013gamma coherence during cognitive loading are still not absolutely perfect. Thus, changes in theta\u2013gamma coupling may simply reflect memory-related increases in gamma power and phase synchrony (Montgomery and Buzs\u00e1ki, The author confirms being the sole contributor of this work and approved it for publication.The author declares that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "The population of persons aging with disabilities is growing. Being able to segment aging with disability sub-populations within national data sets is becoming increasingly important in order to understand the relationship of aging with disability to a range of outcomes in later life including health and wellness, economic security, and health and long-term service and support need and use. This symposium includes four examples of how existing data can be used to draw conclusions about the experience of old age for persons with intellectual or developmental disabilities. In addition, the symposium offers insights into the limitations of these data and the presentations lend themselves to a discussion of how measurement across disability sub-population can be ope rationalized. Two of the presentations focus on understanding mortality trends of adults with cerebral palsy and down syndrome--including an understanding of the health conditions facing these populations. A third presentation will focus on cardiovascular risk factors and co morbidity among adults with cerebral palsy. Finally, a fourth presentation will focus on pairing qualitative understanding with quantitative trends to offer a deeper understanding of the health management challenges for adults with disability as they age. Through a deeper understanding of the experience of health in later life for adults with disability, ideas about interventions and supports can be better aligned with the needs of these populations."}
+{"text": "The exact neurophysiological mechanisms of repetitive transcranial magnetic stimulation (rTMS) and transcranial direct current stimulation (tDCS) for treating patients diagnosed with depression are still not clear. Results of previous structural and functional MRI studies showed an aberated functional connectivity in major depressive disorder (MDD) which induces very mild sensations in the skin stems from obsolete medical point of view that the stimulating electrodes do not enter the crania . The real effect of \u201cnon-invasive\u201d electromagnetic stimulation (rTMS and tDCS) cannot be measured directly due to their non-invasive nature. Opitz stated in recent research, that the important point is in interpretability of stimulation effects can decrease the complexity of electrophysiological signal (\u010cuki\u0107 et al., Several researchers who used various non-linear measures of complexity of EEG confirmed that physiological complexity is elevated in MDD (Ahmadlou et al., Bestmann et al. demonstrAlthough it can seem impossible to compare the two non-invasive brain stimulation techniques that are so different in the sense of their electromagnetic properties and the level of power they can induce in the living tissue, we can still recognize the same functional pattern. In many review papers exploring the efficiency of both rTMS and tDCS in clinical applications (Brunoni et al., For all electromagnetic stimulation treatments, the effect is of temporary nature. The rationale is that they can at least ameliorate the symptoms for a limited time; after which they need to be repeated. The common advantage of non-invasive brain stimulation techniques over medications is that there are no foreseeable harmful side-effects (Antal et al., Although study of physiological complexity changes is still in the realm of research and mainly not in use in clinical setting, it is expected that soon clinicians would start using varying electromagnetic modalities of stimulation with better understanding of how they work\u2014as means to decrease complexity characteristic of depression. Further research based on empirical data is necessary before making the final conclusion that non-invasive brain stimulation treatments may work through changing physiological complexity.To conclude, after all above mentioned results of various lines of research that tried to bring us closer to understanding various aberrations of depression, both rTMS and tDCS might be efficient because of their ability to decrease characteristically elevated levels of physiological complexity in depression.M\u010c conceived the idea about the article, performed a literature research and wrote entire text.The author declares that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "We offer a novel perspective on the burgeoning literature focused on loneliness later life by examining the language(s) used to describe, define and depict loneliness. We have an extensive body of work describing the prevalence of , \u2018vulnerability factors\u2019 and consequences of loneliness in later life. These activities start with pre-defined concepts of what loneliness is and often use scales and questions which may/may not use the term loneliness. How well does the contemporary language of loneliness used in research, policy, practice and the media really capture the depth and complexity of what people are experiencing? Do the terms and words use in our measurement scales and quantitative research resonate with this vocabulary? In qualitative research interviews how do older adults talk about loneliness? How does the media talk about loneliness and what images does this convey about later life? We will address these three issues in our seminar. Using data from qualitative interviews undertaken as part of a mixed methods study of temporal variations in loneliness, Thomas uncovers the strategies participants used to talk or avoid talking about loneliness. Victor uses qualitative data from 12,000 adults aged 60+ collected as part of the BBC loneliness experiment to examine the terms used to describe loneliness and to identify both the opposite of loneliness and the positive aspects of loneliness. Sullivan exposes how loneliness is constructed in print and digital media over a 10-year period in the UK and Canada and its role in framing the loneliness problem."}
+{"text": "Resilience has been examined in various age groups, initially focused on vulnerable children and more recently in enhancement of resilience in various age groups and in response to trauma. Based on studies of resilience in Holocaust survivors and intergenerational engagement to promote resilience in former gang members and isolated older adults, Corley\u2019s 3E model of Experience, Expression and Engagement is discussed in terms of multiple studies and the implications for forming and strengthening networks in communities at risk. This includes initiating creative coalition-building endeavors to address loneliness in residential settings for older adults evolving from a project funded to the Motion Picture and Television Fund in Los Angeles from the AARP Foundation."}
+{"text": "The global prevalence of sensorineural hearing impairment was first reported by the World Health Organization (WHO) in 1985.\u2013At the individual level, the burden of hearing loss over the life course is substantial and can be exacerbated by negative societal attitudes and prejudice towards affected people. In general, hearing loss has adverse consequences on interpersonal communication, psychosocial well-being, quality of life and economic independence.,,The main drivers for the rising trend in hearing loss include demographic changes attributable to global population growth and improved life expectancy.,,,Since 2007, WHO has promoted increased public awareness of hearing loss through World Hearing Day, held every March. Actions required to curtail the growing number of people with hearing loss and to improve quality of life for those with hearing loss have also been extensively reported.The sustainable development goals explicitly recognize the need for a better quality of life and opportunities for optimal well-being throughout the life course of all people with disability."}
+{"text": "Sound and movement are perceived through the vibration of modified ciliary bundles located on the apical surfaces of specialized mechanosensory hair cells. These hair cells derive from specific regions of the otocyst that become determined to develop initially as sensory epithelia and ultimately as either hair cells or supporting cells. The number of hair cells in an individual vertebrate is surprisingly small and the ability to replace these cells varies among different classes. The molecular and cellular factors that specify hair cell identity are not known, but the results of recent experiments have begun to identify some of the signaling pathways that play important roles in hair cell development. This review will describe recent findings related to the factors that influence the final choice of a progenitor cell to develop as a hair cell and discuss their implications for the overall development of the auditory and vestibular systems."}
+{"text": "Concerns have been raised that the transplants performed in the local context at the time of procedures reported in this article may haveThis article reports PLOS ONE Editors retract this article.International ethics standards call for transparency in organ donor and transplantation programs and clear informed consent procedures including considerations to ensure that donors are not subject to coercion. Owing to the lack of documentation to demonstrate this study had prospective ethical approval, insufficient reporting, concerns about the use of prisoners as transplant donors, and unresolved concerns around the informed consent procedure used for organ donors, and in compliance with international ethical standards for organ/tissue donation and transplantation, the The first author notified the journal that all authors agree with the retraction. The other authors either could not be reached or did not respond directly."}
+{"text": "Recent findings from longitudinal followup studies of adolescents and adults with fetal alcohol syndrome (FAS) indicate that the deficits associated with this disorder are long lasting and pervasive. In addition, followup data from several large, prospective studies of cohorts representing a broad range of alcohol exposure levels have confirmed that although FAS represents the severe end of a continuum of birth defects, moderateAccumulating evidence shows that many FAS deficits can be detected at infancy and remain through adolescence into adulthood. In particular, an abnormally small head circumference and intellectual problems persist as an affected child matures, whereas behavioral, emotional, and social problems can become more pronounced e.g., . In addiIn a recent long-term followup study of a Seattle cohort of adolescents and adults with FAS, This article aims to demonstrate the need to differentiate the impact of prenatal drinking from the impact of the environment in which the child is raised when assessing neurobehavioral and other outcomes in children whose mothers drank both during and after pregnancy. In the 20 years since FAS was first identified, a major body of research has been compiled on the effects of prenatal alcohol exposure as well as the impact of being raised by an alcoholicAn association between drinking during pregnancy and neurobehavioral function in infants and children normally is interpreted as teratogenic . The specific body systems affected by alcohol exposure and the resultant outcomes depend on when exposure occurs during the prolonged period of CNS sensitivity to alcohol see . For exaOne alternative explanation\u2014that an observed deficit is attributable to the socioenvironmental consequences of being raised by a drinking mother\u2014can be evaluated by examining the relationship of the deficit to postnatal maternal alcohol use. In cases where the mother drinks both during and after pregnancy, however, it may not always be possible to determine the degree to which observed deficits are attributable to teratogenic versus socioenvironmental factors. Statistical analyses that include variables related to both prenatal and postnatal drinking behavior may sometimes obscure true prenatal effects and result in the failure to recognize a true effect or in an understatement of the magnitude of the effect .Two analytical approaches have been used to assess the impact of prenatal versus postnatal drinking on the child. One approach was used in a prospective longitudinal study conducte(1) the Fagan Test of Infant Intelligence , (2) a tAs seen in A second analytical approach for assessing the effects of drinking during and after pregnancy was used in a longitudinal study conducted in Atlanta, Georgia . The defA similar pattern of results was seen when The data from these studies are consistent with findings demonstrating that cognitive performance is less affected by alcohol exposure in infants and children whose mothers stop drinking in early pregnancy, despite the mothers\u2019 resumption of alcohol use after giving birth e.g., . Thus, tThe impact of being raised by an alcoholic parent has been examined extensively in the research on children of alcoholics (COA\u2019s), but few studies have compared the effects of being raised by an alcoholic father versus an alcoholic mother. Most COA research has focused on children whose fathers have problems with alcohol abuse or alcoholism, but whose mothers do not, in order to exclude the effects of alcohol exposure attributable to maternal drinking during pregnancy. Little is known about the impact of these nonalcoholic mothers\u2019 drinking habits on their children. As previously noted, however, recent findings have detThe studies cited in this article illustrate the need to distinguish the effects of drinking during pregnancy from the consequences of being raised by a drinking parent. The methods described here reflect some of the advances in this research area that have enabled investigators to better distinguish between the harmful effects of prenatal alcohol exposure and the additional impairment that may be incurred in an environment in which one or both parents drink heavily. Current research is beginning to explore complex models and is attempting to identify specific factors that may buffer or increase the magnitude of the damage incurred by alcohol exposure."}
+{"text": "Radiographers have been providing their opinion on radiographic findings to referring physicians in Australia in an informal capacity for some time. Evidence has shown improved outcomes for patients when radiographers and referring clinicians work collaboratively as part of a multidisciplinary healthcare industry.A number of barriers have been identified to the implementation of formalised radiographer abnormality detection systems in Australia which include the following: lack of education, lack of confidence and lack of support from radiologist colleagues.In recent times, Logan Hospital in Queensland has set the standard for radiographers to fulfil full scope of practice with the implementation of a formalised PIE system. The prospective longitudinal study by Brown et\u00a0al."}
+{"text": "This finding highlights how junior doctors, whether in a formal training programme or not, are particularly vulnerable to the adverse effects of a patient suicide, with potential effects on recruitment and retainment in psychiatry.2 The projects involve annual events to promote knowledge and discussion about quality and safety; discussions about the process of serious incident investigations and the support available at each junior doctor induction; and the development of a written resource on formal and informal sources of support for junior doctors involved in a serious incident investigation. These projects are under constant review in order to respond to trainee feedback.In our mental health trust in South East London, trainee-led initiatives in collaboration with the postgraduate training department have been making changes to the learning and support offered to junior doctors who are involved in a serious incident investigation in the past 5 years.We thank the authors for the valuable work exploring how suicide can affect doctors of any grade. We hope that mental health trusts and postgraduate training departments continue working to develop formal and informal support structures for doctors experiencing this difficult event."}
+{"text": "Concerns have been raised that the transplants performed in the local context at the time of procedures reported in this article may haveDetails as to the donor sources and methods of obtaining informed consent from donors were not reported in this article , and wheThe authors state that no vulnerable populations were involved in their research and all organs were obtained voluntarily but did not provide ethics approval documentation or consent forms to support their claim or clarify whether organs had been procured from prisoners.The authors did not respond to inquiries about the availability of underlying data supporting this study.PLOS ONE Editors retract this article.Owing to the lack of documentation to demonstrate this study had prospective ethical approval, insufficient reporting, unresolved concerns around the source of transplanted organs and whether they included organs from prisoners, and in compliance with international ethical standards for organ/tissue donation and transplantation, the The corresponding author notified the journal that all authors disagree with the retraction. The other authors either could not be reached or did not respond directly."}
+{"text": "This paper presents the process by which we adapted an existing Alzheimer\u2019s Disease and Related Dementia (ADRD) caregiver support intervention that is directed at multiple family caregivers and culturally-responsive to the needs of the Arab American community. Three focus group discussions with Arab American families caring for a family member with ADRD were organized in partnership with the Arab Community Center for Economic and Social Services (ACCESS). Focus group discussions included two members from each family to gather data on needs of Arab American ADRD caregivers, role of family in caregiving and use of technology for caregiving information. Results underscored the lack of and desire for knowledge around ADRD, and the perception by Arab Americans that they differ from non-Arab Americans in approaches to caregiving . These data confirm the need for caregiving interventions responsive to Arab American needs/preferences."}
+{"text": "Evidence is mounting that patient-reported experience can provide a valuable indicator of the quality of healthcare services. However, little is known about the relationship between the experiences of people with severe mental illness and the quality of care they receive. We conducted a study to examine the relationship between patient-reported experience and the quality of care provided to people with schizophrenia.We calculated a composite global rating of quality of care for people with schizophrenia using data from an audit of 64 mental health providers. We then examined associations between these ratings and mean patient satisfaction and patient-rated outcome using data from a survey of 5608 schizophrenic patients treated in these services.r\u2009=\u20090.33; p\u2009=\u20090.01) but not with patient satisfaction . Patient-rated outcome was also positively correlated with patient involvement and the quality of prescribing practice . High patient satisfaction scores were significantly associated with the extent of use of care plans within each organisation .Global rating of quality of care was positively correlated with patient-rated outcome (Among people with schizophrenia, patient-rated outcome provides a better guide to the quality of care than patient-rated satisfaction. Greater use of patient-reported outcome measures should be made when assessing the quality of care provided to people with psychosis. Improving the quality of care that patients receive is a key objective for healthcare providers across the world. As well as safety and clinical effectiveness, patients experience of care is a key component of most definitions of quality of healthcare .In recent years evidence has begun to emerge that patient-reported experience can offer a reliable indicator of the quality of care that services provide \u20134. A sysSmall scale studies have examined the relationship between patient-reported experience and other measures of quality of care. For instance, Shipley and colleagues investigThe second round of the National Audit of Schizophrenia conducted between 2013 and 2014 assessed the quality of care provided to patients with schizophrenia across all the Mental Health Trusts in England and Health Boards in Wales. As the audit provided data on a wide range of outcomes of care for patients with schizophrenia around the county, we set out to use data from this audit to examine whether patient-reported experience provides an indication of the services\u2019 overall quality of care in a nationwide cohort of patients with severe mental health illness.The National Audit of Schizophrenia provided an in-depth examination of service performance against 16 standards of care derived from national guidelines for the treatment of people with schizophrenia in England . These sA total of 64 NHS Mental Health Trusts in England and Health Boards in Wales (referred to collectively as \u2018Trusts\u2019 in the remainder of this report) participated in the audit. Data were collected via an audit of practice tool and a contemporaneous patient survey. The audit of practice tool was developed specifically to measure standards of care and the relevant data were obtained from the patients\u2019 case records .The quality of patient involvement (e.g. whether there was shared decision making process in the selection of medication).Compliance with recommended prescribing practice (e.g. extent of polypharmacy and prescribing above BNF recommended maxima).Access and uptake of evidence-based psychological treatments.Provision of a care plan jointly developed with the patients to meet their needs.For each Trust, we calculated the proportion of patients for whom each individual standard was met and the mean percentage of compliance for each standard relative to the total national sample. We then calculated a global trust rating score based on the mean percentage of compliance of each Trust across all standards assessed with the audit of practice tool. We also calculated five sub-scores from standards relating to:The patient-reported experience measures we used included a measure of patient satisfaction with care and a patient-rated outcome measure. The question on patient satisfaction with care asked: \u201cTaking everything into consideration, are you pleased with the care you have received from the service so far?\u201d Responders had to indicate their answer by using a four-points Likert scale from 1 to 4 (very satisfied). The question on patient-rated outcome asked: \u201cTo what extent have services helped you to achieve good mental health in the last year?\u201d and patients responded using a four-point Likert scale ranging from 1 (made me worse) to 4 (helped a lot). We calculated the mean trust scores for these two questions and converted them into a 100-point scale.We carried out Pearson product-moment correlations to investigate associations between patient satisfaction and patient-rated outcome scores with the global trust performance and subgroups of care scores .The National Audit of Schizophrenia (NAS) was commissioned by the Healthcare Quality Improvement Partnership (HQIP) as part of the National Clinical Audit Programme (NCA). As part of NCA, all Mental Health Trusts in England and Wales were expected to take part in NAS. Consent was not required from the patients to publish the audit data in the audit\u2019s main report or for research purposes and the data were collected by the audit team in such a manner that the patients could not be directly identified.The audit team received 5733 returns from the audit of practice, of which 5608 were used in the analysis after data cleaning with a mean of 88 SD\u2009=\u200917) returns per Trust. In total, 3379 patients submitted a survey form with a mean of 53 (SD\u2009=\u200919) per Trust and a response rate of 26.4%. Table\u00a07 returnsp\u2009<\u20090.01). In Table\u00a0There was a positive significant correlation between the patient satisfaction and the patient-rated outcome measure (rs\u2009=\u20090.582, The results relating to the five subgroups of patient care we examined are also presented in Table Secondary analysis of data from this national audit of care for people with schizophrenia found that patient-rated outcome was positively associated with an independent rating of the global quality of care provided by these services. In contrast, we did not find an association between global quality of care and the patients\u2019 satisfaction with the service they received. High scores on patient-rated outcome were also correlated with high patient involvement in the decisions about their care and with high compliance of the services with the recommended prescribing practice. In contrast, high levels of patient satisfaction were associated only with the provision of a care plan tailored to the patients\u2019 needs. Nonetheless the strength of these associations are not strong and caution needs to be exercised in interpreting the results of this analysis.While the previous work of Doyle and colleagues demonstrThe main strength of this study is that we were able to examine the relationship between patient experience and quality of care across a large number of providers of mental health services throughout England and Wales. However, the study also has a number of limitations which need to be considered when interpreting the results. Firstly, the audit used two different samples for collecting case note data and for the patient survey, which did not allow us to determine whether individual patient ratings related to the quality of care provided to them personally by their Trust. The use of aggregate data from different samples of patients within each Trust may have underestimated the strength of the associations we might have seen, had both sets of data come from the same patient sample.A second limitation of the study was that the measures of patient-rate experience and the global trust rating we used have not been validated. The global rating of trust quality of care was developed from standards for the treatment and management of people with schizophrenia published by the National Institute for Health and Clinical Excellence following a systematic review of published literature and extensive consultation with patients and providers . HoweverWhile we found a moderate degree of association between patient satisfaction and patient-reported outcome in our analysis, only the latter was correlated with the independent rating of global quality of care provided Trusts. This suggests that patient-rated outcomes might be a better indicator of the quality of care that a service provides than patient-rated satisfaction with care. We also found that the two measures of patient-rated experience were associated with different elements of care delivered by participating Trusts. The more the services promoted the patients\u2019 involvement in decisions about care and higher levels of compliance with recommended prescribing practice were associated with patients being more likely to state that services were improving their mental health. On the other hand, services that had higher compliance with recommendations that patients should have a care plan that was jointly developed to meet their needs had higher ratings on patient satisfaction with care.These results support previous research in other healthcare settings which indicate that patients rate their experience and outcomes of care according to different criteria and highlight the importance of both in assessing the overall quality of care that healthcare services provide , 12.In recent years concerns have been expressed about the burden that providers of healthcare services face in assuring the quality of care they deliver , 14. TheIn summary our findings highlight that, feedback from patients with severe mental disorders can provide important information about the quality of care they receive. Therefore, greater use of patient-reported experience measures should be made when assessing the quality of care provided to people with psychosis. Future work should focus on exploring the best way to combine patient views with audit data to obtain a comprehensive picture of the quality of care that services provide."}
+{"text": "The fruits of this collective endeavour include an understanding of the genetic architecture of the disease, an appreciation of its complex pathophysiology, and much progress in clinical management. However, many challenges remain, particularly with respect to disease prevention and the management of progressive heart failure.The first description of hypertrophic cardiomyopathy (HCM) can be attributed to any number of great anatomists and physicians working from the 17th century onwards, but the modern era is often said to have begun with Donald Teare\u2019s landmark paper of 1958HCM differs in several important aspects from other conditions associated with left ventricular failure and cardiac hypertrophy. From a clinical perspective it has a well-known association with sudden cardiac death but it also represents an important prototype for diastolic heart failure. The natural history of heart failure in HCM is notably longer than that of ischaemic heart disease with symptom evolution and remodelling occurring over decades. In about one third of patients the presence of intra-cavity or left ventricular outflow tract obstruction provides an additional haemodynamic burden and endothelial and microvascular dysfunction are present from an early stage and contribute to the genesis of symptoms and disease progression. The prognosis of HCM is also highly variable with sudden death the major cause of mortality in younger patients and heart failure and stroke the major causes of death in older individuals. Earlier diagnosis within families has also led to a growing number of healthy carriers of pathogenic mutations that offer opportunities for early intervention to prevent disease.Global Cardiology Science and Practice, we present a unique series of papers that review the aetiology, clinical presentation and management of HCM from childhood to old age. The series reveals how the simple notion of HCM as a disease defined by hypertrophy unexplained by loading conditions, encompasses a remarkably complex spectrum of genetic and acquired disorders. Sudden death prevention with implantable cardioverter defibrillators and the management of left ventricular outflow tract obstruction are comprehensively reviewed, but attention is also given to the management of rare but important phenocopies. The nuances of management in particular sub-phenotypes are also discussed and illustrate the need for systematic and expert evaluation of this and other complex heart muscle disorders.In this special issue of\u00a0For many decades, the diagnosis and management of HCM has run in parallel with technological developments that permit more precise and timely diagnosis but not necessarily greater insight into pathogenesis or novel therapies. In 2018, however, there are signs that a new and exciting chapter in the story of HCM and other cardiomyopathies has begun with the transition of molecular genetics into the clinic and a growing number of randomised clinical trials designed to ameliorate and perhaps even prevent disease. It is our sincere hope that this expert series will spur readers to learn more about this fascinating group of diseases and to contribute to this landscape of therapeutic opportunity."}
+{"text": "Enigmatically, mitochondrial disease can affect individuals at any age and in any tissue (Lightowlers er et\u00a0al use mous To assemble much of the chain of enzyme complexes that perform oxidative phosphorylation (OXPHOS) requires coordinated expression and assembly of gene products from both the nuclear and the mitochondrial genome. The catalogue of diseases associated with mitochondrial dysfunction continues to increase, and in many cases, the ubiquity of exome or whole genome sequencing has enabled the identification of the genetic mutations responsible for these pathogenic defects occurred early on, whilst the axonal and locomotor degeneration only developed later, and were not the consequence of generalised brain atrophy. The tandem knockout of both YME1L and OMA1 restored the dynamic mitochondrial network, but despite this restoration of L\u2010OPA1, not only did the combination of eye defects persist but both the neuroinflammation and axonal degeneration became more severe, with an earlier onset. The combination of models used in these investigations brings us a little closer to understanding pathogenic mechanisms and that disruption of mitochondrial proteostasis alone can be a driver for disease.What is the relationship between this change in mitochondrial morphology, eye defects and axonal degeneration with age? Sprenger The authors declare that they have no conflict of interest."}
+{"text": "Akkermansia muciniphila and Anaerotruncus colihominis are swapped. A revised There is an error in As stated in the Competing Interests statement on the original article, all authors have patents pending in relation to this work. The following sentences are added to the Competing Interests statement as an additional clarification: The healthy reference ranges reported in this article were used in the development of a commercially available test product developed and marketed by uBiome. This does not alter our adherence to PLOS ONE policies on sharing data and materials."}
+{"text": "This symposium presents early results on epigenetic, transcriptomic and other aging biomarkers such as telomere length and mitochondrial DNA copy number from the Health and Retirement Study that allows a detailed examination of the biological pathways through which socioeconomic conditions influence the human aging process. In 2016 HRS collected 6 tubes of blood from people who completed the 2016 interview, had been in the sample at the prior wave and were not in a nursing home to maintain a nationally-representative sample. These blood samples were analyzed for novel biomarkers of aging that included global methylation arrays, whole transcriptome sequencing, telomere length and mitochondrial DNA copy number among other biomarkers that were shown to be related to both social and economic circumstances and health outcomes at older ages. This level of integration of biological data to address social disparities hasn\u2019t been accomplished before on a large nationally-representative sample of Americans and will provide a unique opportunity to understand the biological mechanisms through which social disparities affect human health. The symposium will describe the utility of measuring novel age related biomarkers in a nationally representative population study such as HRS and the potential research opportunities that can be pursued using this publicly available resource. It will provide an overview of the measurement and distribution of epigenetic, transcriptomic and telomere length and mitochondrial DNA copy number as novel aging biomarkers. It will also describe the utility of these biomarkers in further understanding the biological underpinnings of socioeconomic differences in health and mortality."}
+{"text": "To effectively deliver child and adolescent mental health (CAMH) services in resource-constrained settings, it is vital to be smart in utilizing such resources efficiently, and this requires strategic planning. Of paramount importance is in-service training of primary care professionals aimed to consolidate existing knowledge and employ evidence-based strategies to manage child mental health care and to successfully integrate further these services into other mainstream healthcare facilities.\u2022Enthusiasm from health professionals/ CAMHS team lead by a child psychiatrist and CAMHS team as the service provider is a key determinant of sustainability\u2022Perseverance and patience are the salient qualities necessary to secure commitments and resources from relevant authorities\u2022Liaising effectively and cultivating cooperative and communicative networks between primary care professionals, educators, child-care and social care professionals, as well as non-governmental organisations is essential for effective service network\u2022In-service education and training as well as \u2018task-shifting\u2019 methods to optimise human resource development can be potent strategies to sustain CAMH service in limited resource environmentsThe establishment of CAMH services in Terengganu and the East Coast of Malaysia has resulted in better skills in assessing and managing young people with mental health problems by medical practitioners and mental health workers. It has had a positive impact on young people with mental health issues and their families around the East Coast and particularly in Terengganu.The implementation of CAMH services in Terengganu has served to facilitate numerous improvements such as promoting and increasing awareness of young people with mental health problems within their general practices. Furthermore, planning and implementing fully integrated child mental health service in Terengganu and the East Coast of Malaysia has served to enhance our understanding and yielded valuable insights which include:Child psychiatry services in Terengganu, Malaysia were initiated in 1997 as part of services provided by the department of Hospital Sultanah Nur Zahirah Hospital (HSNZ) which has been gazetted to manage psychiatric patients in Terengganu since early 70\u2019s. The service was led initially by a general psychiatrist who has a deep interest in working with young people with mental health problems. A specific day was allocated for children and adolescents with mental health issues to attend the general psychiatric clinic.The service development has progressed with the integration of child psychiatric unit specially designed and included during the planning of Day Treatment Complex in the 8th Malaysian Plan. This complex which also housed the psychiatric clinic was finally completed in April 2003. Sadly, the service was temporarily discontinued when the specialist was transferred to serve a different hospital. All children and adolescent patients were then relocated to the general adult clinic to be managed by medical officers and general psychiatrist.In December 2004, the child psychiatry clinic was re-established and re-branded with a new name Child and Adolescent Mental Health service (CAMHS) and managed by a child and adolescent psychiatrist who was posted to the hospital. The CAMHS was moved to the existing Day Treatment Complex. There were, however, multiple challenges faced during the initial implementation of CAMH service. Among those, we encountered various constraints involving inadequate funding to provide effective training and crucial posts to set up a multidisciplinary team to facilitate the assessment and management of mental health needs of children and adolescents. Inadequate support received including a vague understanding to allocate appropriate staff namely occupational and speech therapists, clinical psychologist/counsellor dampened the proper assessment and effective interventions upon arriving at the diagnosis. It was more of \u2018a one-man show\u2019 type of approach; i.e. existing occupational therapist focused mainly on the physical deformities while speech therapists are based in the ORL department; primary health care providers were not managing the cases adequately.\u2022Encouraged more specialists to subspecialise in child psychiatry with ongoing training of Masters in child psychiatry as well as a training base for those planning to subspecialize in child psychiatry abroad\u2022Provided an opportunity for staff to further their study or doing an attachment in child and adolescent mental health programmes and activities\u2022Made sure that all training modules, guidelines and protocol on child and adolescent mental health have been made available to all schools, primary care clinics and communities.\u2022Collaborated with the Education Department in organising courses and workshops related to mental health for school children and teachers in Terengganu.Since 2005, great efforts were made. A series of training courses and workshops were carried out both by the department and by other agencies. Specific issues were identified and funding was appropriately explored to materialise such plans. The primary focus was on improving knowledge and useful skills among mental health practitioners in the care of children and adolescent mental health patients. We have:Despite such constraints and being the only CAMH service in Terengganu, the team has endeavoured to provide an efficient service that will give an impact to the state of Terengganu and East coast. As demonstrated in Table CAMH service in Terengganu and the East coast of Malaysia has resulted in better skill reinforcement in areas of assessment and management of young people with mental health problems among medical practitioners and primary health care workers. Through receiving continuous funding and appropriate training, staff have achieved more confidence and are more able to care for their clients in their settings. This CAMHS establishment is believed to have an encouraging impact in the improvement of mental health among children, young people and their families in the East coast particularly Terengganu.To date, there is no standardised service evaluation in our CAMHS to assess patient clinical and service outcome measurement that may indicate the impact of CAMHS to the population of Terengganu and also the east-coast. This standardised routine outcome measurement is still mostly unexplored not only in Terengganu but Malaysia in general. These future research findings may help us to provide useful information for improvement in the quality of treatment planning as well as the implementation of standardised outcome measurement for local and national benchmarking of CAMHS service in this country.National Institute of Health (NIH), Ministry of Health (MOH), Malaysia.Application of approval for publications and presentations from Director General (DG) of Health Malaysia has been submitted to the NIH .No potential conflict of interest was reported by the authors."}
+{"text": "Not surprisingly given their multi-component nature, initiatives to improve integrated care often evolve to find the best way to bring about change. This paper provides an example of how an evaluation evolved alongside such an initiative designed to better integrate care across primary, community and hospital services in South Auckland, New Zealand.Using the explanatory power of a realist evaluative approach, theories of new ways of working that might be prompted by the initiative were explored in: (i) interviews with stakeholders in 2012 and 2015, (ii) online surveys of general practices and local care organisations, and (iii) a purposive sample of ten general practices.The results highlighted the institutional contexts that led to difficulties in implementing population health initiatives. They also revealed that changes in work practices focussed mostly on activities that improved the coordination of care for individuals at risk of hospital admissions.Multi-component complex interventions can vary in their delivery and be vulnerable to one or more components not being implemented as originally intended. In the case of this intervention, the move towards strengthening local relationships arose when contractual arrangements stalled. Realist evaluative approaches offer a logic that helps unpick the complexity of the relationships and politics in play, and uncover the assumptions made by those developing, implementing and assessing health service changes.Given the multi-component and evolving nature of initiatives seeking to better integrate care, the realist evaluative emphasis on surfacing early the theories to explain how change is expected to occur helps overcome the challenge of evaluating \u201ca moving target\u201d. In recognition that the projected demand for the local hospital was going to outstrip supply, a District Health Board in South Auckland, New Zealand introduced a major change programme focused on shifting the balance of care away from the hospital towards the community . Rather In 2012, in the context of a long standing interest in delivering care better designed around the needs of the local community, Counties Manukau District Health Board in South Auckland, New Zealand grouped a number of interventions together into a major change programme in order to deliver more care outside of the local hospital. An earlier initiative involving case management of patients who were high users of the hospital was extended to primary care to increase the management of patients in the community . Under tInternationally, efforts to better integrate health care have taken many forms often fu81011The changes being put in place to increase the role of primary care by this District Health Board were informed by evidence that a greater focus on primary care is associated with better health, a more equitable distribution of health in populations, and lower health costs 1415. Fur1417An independent evaluation was commissioned to track progress and evaluate the outcomes achieved from a Strategic Locality Partnership Agreement signed between Counties Manukau District Health Board and the five providers of primary health care within the district. In New Zealand, Primary Health Organisations represent the interests of groups of general practices that generally operate as independent businesses receiving a proportion of their funding from government capitation, and the remainder from patient co-payments. In this district, five Primary Health Organisations representing particular enrolled populations were in operation. In many cases these enrolled groupings cut across the geographical boundaries set up by the Localities initiative.The Partnership between the five Primary Health Organisations and Counties Manukau District Health Board established a global budget for each locality centred on the expectation that if each locality was able to reduce demand across an agreed set of shared services then the savings would be directed towards innovative primary care services. The partnership agreement was the founding document of the Localities initiative.Reviews of new contracting arrangements designed to create savings and reduce utilisation have found mixed outcomes. Potential savings can be limited by the time taken to design and implement new contracts, pricing services and agreeing how performance will be assessed . NeverthThe evaluation team undertook an initial assessment of the outcomes expected to be attributed back to the Localities initiative and were struck by the variety of routes being put in place to achieve an outcome concentrated on reducing demand for secondary health care. These routes included new financial incentives via a risk/gain share contract,Recognising that the Localities initiative was not a fixed thing involving an unchanging set of interventions amenable to a closed system investigation, the following evaluation questions were agreed with the specially created Localities Evaluation Advisory Group:What were the initial theories of how the Localities initiative would achieve change?How is the Localities initiative being implemented, and what are the implications for the initial theories of change?What projects/events/interventions to improve integration most characterise the Localities initiative in health providers\u2019 minds?Using claims made in planning documents and governance meetings, as well as insights from relevant literature 23242526,232425networks theory. When health providers are included in local decision-making networks (context), their knowledge about local issues enables them to improve the design and integration of local services (mechanism), which in turn leads to a reduction in demand for secondary services (outcome).The The early parallels between the Localities initiative and clinical commissioning groups in the NHS, led us to theorise that the proposed risk/gain share contract would employ a similar mechanism of using general practitioners\u2019 frontline knowledge about patient experiences to improve service redesign .planned proactive care theory. When local health providers are resourced to undertake more local coordination activities (context), their confidence in working in a planned proactive way for patients increases (mechanism), resulting in better outcomes for patients and a reduction in demand for secondary care services (outcome).The The District Health Board had a long-term concern with those adult patients who were very high intensity users of hospital emergency departments and havi26relationships theory. When relationships are strengthened between primary and secondary care health providers, and with social care providers as a result of localities-linked events and activities (context), then increased awareness of who to contact (mechanism) improves the coordination of care for individual patients (outcome).The A growing theme in the integrated care literature stresses the importance of the softer issues of relationship building in orderBox One). Guidance on developing realist theories suggests that formal theories drawn solely from the literature can end up being too abstract :\u201cAs a doctor I can say OK book 30 minutes with me and I spend that time with the patient and then pass on to the practice nurse \u2026 it doesn\u2019t reduce the time I spend having the nurse involved but it increases the quality of what patients receive\u201d .Larger practices reported adapting to the At Risk Individuals model of care demands by appointing nurse leads, sharing caseloads across nurses and experimenting with different ways of \u201cpulling nurses off the floor\u201d to cover the extra time involved. These staff were also able to draw on a team-based approach to delivering care in partnership with the doctors in the practice. While the At Risk Individuals model of care did involve more work for the nurses, with the right team dynamic they were able to argue for changes to the way the practice allocated time:\u201cWhen it first started we were all lost \u2026 we did not know what to do \u2026 but now as we are going ahead it is more work for us but we are getting more time allocated to do that work as well. We are getting set times. As it is going when we do need more time we are speaking out and we are getting an allocation\u201d (Large-size practice participant).As being part of a new locality network was expected to influence practices to work in a more planned proactive way for those with long-term conditions, the focus group results revealed different locality contexts had much less influence than the team dynamic within each practice. Those practices prepared to change their organisational processes in order to support nurses to confidently take on new responsibilities for those with long-term conditions, were those most likely to embrace the opportunities to work in a planned proactive way.The changes put in place by the Localities initiative were collectively expected to shift the balance of care from the hospital to the community by better integrating services between primary and secondary care, moving from a more reactive to proactive model of care and encouraging the provision of more services in primary care settings. However, an assessment of the high-level trends in secondary care demand across the Auckland region found no evidence of change that could be confidently attributed back to the Localities initiative.Confirming that integrated care \u201cis not a fixed thing but instead is a fluid state that requires constant amending and adapting\u201d , the LocThe original Strategic Locality Partnership Agreement was yoked to an ambitious target of a 20% reduction in the projected standardised use of acute medical in-patient bed days and emergency department services over five years. When the Strategic Locality Partnership Agreement was reshaped into a series of enabling activities across the four localities, the policy target remained. However, using the theory-driven realist approach the evaluation sought to assess progress through the intermediate measures of: (i) whether primary care practices were working more proactively for those with long-term conditions; and (ii) the ways in which relationships were improving in order to deliver more integrated care. It is worth reflecting that this smaller scale of experimentation involving a series of enabling activities was forced on the District Health Board by the different power dynamics between the state and the non-state .This experience adds weight to broader calls to acknowledge the power dynamics within integrated care and the Box One outlined ten original propositions of how the initiative was supposed to work. These propositions included both actions that reshaped services for different local populations and actions that improved the coordination of care for individual patients. As time progressed, the Localities initiative became distinguished by the attention paid to the introduction of a new case management programme and the opportunities to build new working relationships. This finding suggests that of all the propositions in play the ones gaining the most traction were those aiming for improvements for individual patients. Smith\u2019s 2011 analysis of New Zealand\u2019s Primary Health Care directions pointed to unresolved tension between population and patient perspectives within New Zealand primary care. Her assessment was that reform emphasis was placed on the population health gains expected from capitated funding, and less management and policy attention was paid to the development of more integrated primary care services for individual patients [From the beginning, the Localities initiative encompassed a bundle of interventions. patients . Adaptiowhat was happening to drive change. The key recommendations from the evaluation were to:Multi-component complex interventions can vary in their delivery and be vulnerable to one or more components not being implemented as originally intended . Recent Temper the expectation that the creation of four localities would reduce demand for secondary care and be more targeted about which local relationships need to be improved in order to benefit which groups of patients. The experience confirms the challenges of the field of integrated care, which can easily be saddled with ambitious business cases claiming significant effects when the reality is that behavioural changes are much more nuanced .Acknowledge the different contexts for local general practices compared to local care organisations. Local care providers were looking to be affirmed as an advocate and coordinator of care for their clients, while general practices wanted to be confident their time was being spent strengthening the local connections most likely to improve individual case management for their patients. These organisational contexts were more influential than the local contexts in each of the four geographical localities.Strengthen the implementation of the At Risk Individuals programme by supporting the growth of team-based cultures within primary care practices. Further research is planned on how patients are reasoning differently in order to support decisions on who is enrolled in the programme.The strength of this evaluation centres on the application of the realist approach. Recognising that the Localities initiative is a social programme involving human decisions and actions, attention was paid to identifying how change is expected to occur, and then testing the extent to which these theories were borne out. A recent realist evaluation of two integrated care initiatives tried to retrospectively identify the context, mechanism and outcomes in play but struggled to identify the relationships between them . This evThe Localities initiative demonstrated an agility in adapting to the complex web of incentives around primary health care in New Zealand, but the consequence was that attributing what was done to earlier defined metrics of success was difficult. The realist logic of enquiry regards programmes as \u201ctheories incarnate\u201d . Surfaci"}
+{"text": "Renal cell carcinoma, particularly the most common clear cell type, is one of the most aggressive of urological cancers with significant risk of metastatic spread. It also has a propensity for venotropism with a proportion of tumors developing thrombi up to the right atrium. The response with newly adopted targeted therapy has been considered to be in the evolutionary stage with no clear role with respect to debulking or reducing the size of the inferior vena cava (IVC) thrombus. We describe a case of a right-sided metastatic RCC with Level IV thrombus initially managed with Pazopanib followed by Nivolumab and Adalimumab followed by cytoreductive nephrectomy and IVC thrombectomy in the post-targeted therapy setting with complete curative response. Renal cell cancers (RCC) comprise 3.8% of all new cancers in the United States with 90% of renal tumors being RCC and about 80% being clear cell type , 2. The A 57-year-old woman with good performance status was detected to have a large right renal mass with adrenal extension and tumor thrombus extending to the right atrium Figures and 3. SShe was started on Pazopanib 800 mg orally once daily which was later switched to Nivolumab after she developed upper gastrointestinal bleeding secondary to a duodenal ulcer.Interval imaging 6 months after targeted therapy revealed a decrease in the size of the primary renal mass, although the thrombus extension into the IVC still persisted with development of new hilar lymphadenopathy and segmental pulmonary embolism. Nivolumab was continued and 3-month PET/CT showed further reduction in the size of the renal mass with thrombus extension now to the level of liver. There were new enhancing masses in the liver suspicious for metastases with subcarinal, precarinal, and bilateral hilar mediastinal lymphadenopathy.She was initiated on Cabozantinib in addition to the Nivolumab in view of new lymphadenopathy. She tolerated the new regimen very well and was completely symptom-free with this therapeutic combination . New imaBased on the imaging, it was decided to proceed with posttherapy right cytoreductive nephrectomy with IVC thrombectomy. The anticoagulant was stopped and bridging was done with Heparin prior to the surgery. Intraoperative findings were that of a large renal mass with an infiltrating IVC thrombus in the retrohepatic location (using TEE assistance) with no gross evidence of metastases. Open radical nephrectomy with IVC thrombectomy and caval reconstruction was carried out with complete tumor thrombus resection . The patRadical nephrectomy specimen examination showed a necrotic nonviable carcinoma consistent with an RCC with complete response measuring 7 cm in size with perinephric extension. The tumor was extensively sampled and no viable carcinoma was detected . The necShe was fully back to her activities of daily living with no complaints at the time of her first follow-up visit to the clinic at the postoperative visit at 3 weeks. She will continue to follow up with both the Urological Oncology and Medical Oncology teams. She has not been planned for adjuvant targeted therapy at this stage in view of no evidence of residual disease.The management of metastatic RCC with Level IV IVC thrombus is complex and requires multimodality treatments. Current available literature supports the potential increasing role of targeted therapy in the neoadjuvant setting for the management of metastatic RCC and advanced RCC. The therapy does seem safe and feasible with no significant complications. The priority in this case from our standpoint was to achieve substantial downgrading of the tumor and to ensure control of metastatic disease. When this had been accomplished, the next step was posttherapy cytoreductive nephrectomy with IVC thrombectomy.Pazopanib is a preferred Category 1 option for first line treatment of patients with relapsed or medically unresectable Stage IV clear cell RCC. This is supported by the results of the COMPARZ and the PISCES trial which showed a comparable oncological control with fewer side effects reported \u20137.The data for first line Nivolumab in combination with Ipilimumab for favorable risk patients has been mixed. The Checkmate 214 trial showed that the combination of Nivolumab and Ipilimumab produced a higher objective response rate and a higher complete response rate compared to Sunitinib monotherapy [Patients treated with Cabozantinib as a primary treatment modality showed a significantly increased median progression free survival (PFS) compared to those treated with Sunitinib. They also showed a significantly higher objective response rate (ORR) compared to Sunitinib 46% vs 18%) [% [8].One of the benefits of preoperative systemic treatment is the possible reduction in the size of the primary tumor to make it resectable. This has received variable reporting in literature with wide variation in the treatment protocols and adoption. Despite this, there does seem to be some evidence to achieve downstaging in truly unresectable tumors. Thomas et al. reported a series of 19 patients with unresectable or bilateral tumors who received neoadjuvant Sunitinib. 15 patients were able to undergo radical nephrectomy thereafter with mean reduction in tumor size by 16% and significant reduction in tumor burden .The commonly used RECIST criteria to look for response to standardized treatment may not be effective as antiangiogenic therapy may not affect the size of the tumor but effectively produces intratumoral necrosis which is not assessed at all . FurtherPreoperative therapy to produce a reduction in the level of IVC thrombus has remained ineffective with IVC thrombectomy alone remaining the standard of care. Much of the existing literature on the use of preoperative therapy in the setting of an IVC thrombus comes from single center studies. The study by Cost et al. demonstrated there was minimal clinical effect on RCC thrombi with only one case of thrombus level regression from Level IV to Level II .There have been data in the form of randomized controlled trials to demonstrate that overall survival does not increase with a cytoreductive nephrectomy in intermediate and poor risk patients. However this data is not robust for favorable risk patients . Our patDownstaging the advanced primary tumor, tumor thrombus, and metastases provides an option of radical nephrectomy. Although current literature does not advocate neoadjuvant therapy for downstaging the level of IVC thrombus, we found a significant downstaging in the level of the thrombus from Level IV to Level II. Although the standards for neoadjuvant therapy have still not been established due to paucity of literature, more research is required to shed light on management of such tumors."}
+{"text": "Infectious diseases can be manifested by a spectrum of clinical signs and resultant clinical courses that range from acute to chronic and possible persistence in the victim in a latent form. Until recently, the origins of this kind of biodiversity were poorly understood, but advances in immunology \u2014 especially in identifying the constitutional mechanisms of immunity \u2014 have contributed to our understanding of the origins of biodiversity in infectious diseases. Infectious diseases affect only focal areas in the affected organisms, and the amounts and distribution of infectious lesions vary from patient to patient. In a population attacked by an infectious agent, individuals can be conveniently divided into three categories: totally resistant organisms which contain no susceptible structures and are not affected; mildly susceptible organisms in which a few foci appear and in which the infection runs a benign course; organisms in which the number of constitutionally susceptible structures is high and the infectious process develops in a severe form. The diversity is determined by the differences in susceptibility of various parts of the organism under consideration."}
+{"text": "Shale gas is considered by many to have the potential to provide the UK with greater energy security, economic growth and jobs. However, development of a shale gas industry is highly contentious due to environmental concerns including the risk of groundwater pollution. Evidence suggests that the vertical separation between exploited shale units and aquifers is an important factor in the risk to groundwater from shale gas exploitation. A methodology is presented to assess the vertical separation between different pairs of aquifers and shales that are present across England and Wales. The application of the method is then demonstrated for two of these pairs\u2014the Cretaceous Chalk Group aquifer and the Upper Jurassic Kimmeridge Clay Formation, and the Triassic sandstone aquifer and the Carboniferous Bowland Shale Formation. Challenges in defining what might be considered criteria for \u2018safe separation\u2019 between a shale gas formation and an overlying aquifer are discussed, in particular with respect to uncertainties in geological properties, aquifer extents and determination of socially acceptable risk levels. Modelled vertical separations suggest that the risk of aquifer contamination from shale exploration will vary greatly between shale\u2013aquifer pairs and between regions and this will need to be considered carefully as part of the risk assessment and management for any shale gas development.The online version of this article (10.1007/s10040-018-1737-y) contains supplementary material, which is available to authorized users. One such use of the subsurface, the production of natural gas from shales, or shale gas, has received growing attention in the last few years, with recognition of the range of potential threats to groundwater are shown in Fig. are showA methodology is presented here for evaluating the vertical separation between shales and aquifers across England and Wales. Its application is demonstrated for two important principal aquifer\u2013shale combinations\u2014the Cretaceous Chalk Group aquifer and the Kimmeridge Clay Formation, and the Triassic sandstone aquifer and the Bowland Shale Formation . The Chalk Group and the Triassic sandstone aquifers are the most important aquifers for water supply in southern and northern England respectively are established as part of the EU Water Framework Directive and applied to groundwater bodies. The UK Technical Advisory Group (UKTAG) have issued guidance on the definition and delineation of groundwater bodies UKTAG , recommeThe UKTAG recommendation is consistent with the zone of active exploitation of groundwater in England based on the distribution of borehole depths within a given aquifer. Most exploitation of groundwater takes place at depths of a few tens of metres below groundwater level\u2014Fig. S1 of the electronic supplementary material . HoweverThe first extensive review of shale gas prospectivity in the UK National Geological Model (NGM) of Great Britain of contaminants migrating between shales and aquifers Myers . NumericImportantly, these numerical models of contamination transport do not consider the likelihood of particular geological conditions existing out of a possible 25 aquifer\u2013shale combinations identified in the UK have been presented and discussed. In general, the vertical separation for the Chalk Group and Kimmeridge Clay Formation is much smaller than for the Triassic sandstone and Bowland Shale Formation though both pairs show quite large variability, reflecting the complex geological history and basin development of the UK. Safe vertical separation distances are difficult to determine due to large uncertainties in geologic parameters and determination of socially acceptable risk levels and aquifer depth limits. Modelled vertical separations suggest that the risk of aquifer contamination from shale exploration will vary greatly between shale\u2013aquifer pairs and between regions.ESM 1(PDF 1622 kb)"}
+{"text": "The Paediatric Rheumatology European Society (PReS) has over many years, developed a portfolio of educational activities to address increasing educational needs of workforce and support young clinicians to acquire skills to develop new knowledge and deliver clinical care in the future. These educational activities aim to facilitate growth of paediatric rheumatology and ultimately improve the clinical care for children and families. This article describes the current portfolio of PReS educational activities and their relevance to the international paediatric rheumatology community. The Paediatric Rheumatology European Society (PReS) has an overarching aim to promote paediatric rheumatology as a sub-specialty across Europe and also further afield through the expanding international membership. PReS aims to improve the lives of children with rheumatic diseases through collaborative networking to raise awareness, facilitate high quality research to create new knowledge, support education and training, promote advocacy and \u2018best care \u2019 based on evidence, consensus and active consumer engagement. The importance of education and training activities to achieve these aims and address unmet need within Europe has been highlighted following the SHARE initiative . This new syllabus ensures that rheumatology training is compliant with the revised European Syllabus structure and format. The educational activities of PReS reflect the roles of the paediatric rheumatology specialist; namely \u2018life-long\u2019 scholarly clinician, researcher and teacher. These roles have foundations firmly embedded in the European Syllabus which sets out the minimum requirements for training to cover knowledge , skills and professional roles . In the context of education and training, the 2016 European syllabus for paediatric rheumatology has the following aims:Harmonise training programmes across European countries.Establish defined standards of knowledge and skills required to practice paediatric rheumatology at the tertiary care level.Foster development of a European network of competent specialist centres to facilitate collaborative research and training opportunities.Improve the clinical care of children with chronic and acute rheumatic disorders within Europe.Enhance European contribution to international scientific progress in the field of paediatric rheumatology.Promote teaching of paediatric rheumatology at undergraduate and postgraduate levels to raise awareness about the importance of early diagnosis, prompt referral to specialist care and facilitate potential recruits to fellowship programmes and the future workforce.The educational activities of PReS are overseen by the PReS Education and Training Committee (ETC), currently led by one of us [TA]. The PReS ETC represents rheumatology within the European Academy of Paediatrics and has contributed to the recent 2016 European Syllabus for Training in Paediatrics through \u2018state of the art\u2019 lectures and presentations. There are active allied health and consumer parallel programmes. The annual scientific meeting has become one of the most important educational events in the paediatric rheumatology international calendar and provides a platform to disseminate knowledge, opportunities to network and foster new collaborations. The annual Young Investigators Meeting (YIM) is held over the two days preceding the annual scientific meeting and is organized with support from PReS to facilitate attendance by young researchers and trainee doctors. The YIM aspires to nurture the PReS research ethos and aims to promote networking and foster opportunities for international collaboration; young investigators are encouraged to present their work to an international audience with feedback and guidance from PReS & YIM senior faculty. Over recent years the number of young investigators attending the YIM meeting has increased significantly with a substantial number of trainees from non-European countries . Proceedings of future meetings and how to apply for YIM bursaries are available on the PRES website (https://www.pres.eu).The annual scientific meeting of PReS disseminates advances in knowledge and research (http://www.pres.eu). The aim is to have one of either the Basic or Advanced course per year and to reach audiences who may not otherwise have access to education and training. PReS members are encouraged to contact the ETC for further information if they wish to consider organizing a Basic or Advanced course in their country and seek PReS support.The ETC oversees a \u2018rolling programme\u2019 of courses which are financially supported by grants from PReS. Details of future courses and how to register for them are available. , Sao Paulo (Brazil 2015), Budapest (Hungary 2015) and Cape Town (South Africa 2017) with future courses planned in the Ukraine and South East Asia. The aim is to promote the specialty, facilitate networking and ultimately improve patient care. The model includes an organising committee led by a local paediatric rheumatologist with faculty drawn from local and national colleagues as well as international faculty who are PReS members. Examples of previous Basic Courses are available from the ETC and it is envisaged that lectures from courses will be archived on the PReS website. The Basic Courses have a similar format and up to 100 delegates, with interactive lectures and workshops. Case presentations are encouraged from delegates. Workshops focused on joint examination have been included since 2015 with practical demonstrations of pGALS (paediatric Gait Arms Legs and Spine) website (octors [ Smith ethttps://www.printo.it/pediatric-rheumatology/). The importance of patient and family advocacy and engagement in clinical care, service delivery and research has been highlighted [ [Patient and parent information - Further to the SHARE initiative there has been a complete revision of the freely available information leaflets covering a broad spectrum of conditions and including translations into several languages and through a bimonthly newsletter highlighting activities and opportunities for members (contact emerge.pres@gmail.com). The PReS EMERGE fellowship programme (https://www.pres.eu/activities/young-investigators/fellowship-programs.html) was launched in 2017 with financial and practical assistance for clinical trainees who are members of PReS and younger than 40\u00a0years, to facilitate placements of up to 6-months within a European Paediatric Rheumatology Centre. In addition to gaining clinical knowledge and skills, the trainee is expected to participate in a research project. From 2018, the programme is open to basic science trainees (pre-PhD to five years post-PhD) working in paediatric rheumatology. It is envisaged that the programme will enhance both clinical and basic collaborative research, foster a network of emerging and established paediatric rheumatologists and allow sharing of ideas and practices between different countries to harmonize paediatric rheumatology training.PReS EMERGE (EMErging RheumatoloGists and rEsearchers) encompasses young paediatric rheumatologists and researchers working together to improve clinical and research opportunities for trainees, participating in organisation of PReS educational events and liaising with other young investigator groups . The group was set up following the 2016 YIM and currently includes trainees mainly from Europe but also from all other continents. Further details are available through an active social media network (The Standards of care for Juvenile Arthritis Management in Less Resourced countries (JAMLess) is a collaborative effort with funding and support from International League Against Rheumatism (ILAR) and PReS to develop consensus based guidelines relevant to challenging health care contexts; these highlight the importance of education and training being integral to the delivery of clinical care. This project was initiated by PReS colleagues from South Africa, Argentina and India and has resulted in a consensus document [ Scott C The activities of the PReS ETC aim to improve access to, and provision of, high quality clinical care delivered by an appropriately trained workforce and ultimately improve outcomes for children and families. The emergence of Basic and Advanced courses, specialist courses, online resources and the EMERGE fellowship programme, supplement the annual scientific meeting of PReS and YIM as a means to facilitate advances in knowledge being implemented into high quality evidence-based clinical care. We recognize that more work is needed to enable and support the expanding paediatric rheumatology community both in Europe and Internationally. The uptake and implementation of the new 2016 European syllabus into training programmes needs to address the accreditation of training centres, a proposed European sub-specialist examination and certification in paediatric rheumatology.There is now an overarching structure to the education and training activities of the PReS ETC to address the expanding needs of the broad paediatric rheumatology community with the content based on the 2016 European Syllabus for training. The format and structure of the PReS educational portfolio, much of which is free and open to all, serves as a template relevant to the wider international paediatric rheumatology. There is clear synergy between the educational and training activities of PReS and other initiatives led by paediatric rheumatology organisations elsewhere in the world . Through working with colleagues around the world, the aim has been to \u2018reach out\u2019, raise awareness and facilitate growth of paediatric rheumatology relevant to the local context."}
+{"text": "Background: Pharmacy has utilised the changes in legislation since 2000 to increase the range and supply function of services such as travel health to travellers. With the number of travellers leaving the UK and trying new destinations there is an increasing need for more travel health provision. Working models: The models of supply of a travel health service vary according to the size of the corporate body. The large multiples can offer assessment via a specialist nurse or doctor service and then supply through the pharmacy. Others will undertake an onsite risk assessment and supply through the pharmacist. The sole Internet suppliers of medication have been reviewed and the assessment standards questioned following survey and inspection. Education: There is no dedicated pharmacist-training programme in advanced level travel health. As a consequence one academic institution allows pharmacists to train on a multidisciplinary course to obtain an academic membership. With training for travel health not being mandatory for any travel health supply function the concern is raised with standards of care. Future: There is a consultation paper on the removal of travel vaccines from NHS supply due to be decided in the future. If these vaccines are removed then they will provide a greater demand on pharmacy services. Discussion: The starting of a travel health service can be made without any additional training and remains unregulated, giving cause for concern to the supply made to the traveller. Conclusions: Pharmacies in the UK offer a range of options for supplying travel health services; however these need to be with improved mandatory training and supply. This is a review of the development of the practice of pharmacy in the UK developing from the legal changes that occurred in the 2000s to include modern working models and specialist eduction that is available to pharmacists.In the UK, prior to 2000 the role of the pharmacist was that of the traditional supply function against the supply of a prescription and the sale of over the counter products (OTC). Within the UK the legislation is defined in 3 legal categories of medicines, prescription only (POM)\u2014only supplied against a doctors or dentists prescription ); pharmacy only medicines (PM)\u2014only supplied from a licensed pharmacy in the presence of a pharmacist and OTC products. At this time there was no legislation that allowed pharmacists to provide routine or travel vaccinations or to supply POMs without a relevant prescription.With changes to both the legal supply of POMs and the increasing requirement to use pharmacist\u2019s clinical skills then evolvement of influenza vaccination was introduced. This led onto the consideration of travel health health services from a pharmacy, by a pharmacist, to become established.The changes to a nationally funded travel health service remain under scrutiny and with increasing numbers of patients travelling abroad annually (+5%) and +27% intending to to travel a country they have never visited before the NHS In 1998 the NHS reviewed the medicines that where be allowed to be supplied on a prescription. This review included the removal of chloroquine for malaria prophylaxis and the change to PM status allowing it to be purchased from pharmacies, . The NHSIn 2000 following lobbying from the Royal College of Nurses (RCN) for group protocols to supply national immunisation services, the law was changed to allow the supply of medication by healthcare professionals using Patient Group Directions [At the same time-work was underway to allow a new category of prescribers to be formed. This became known as supplementary prescribing, which was originally given to practice and district nurses working alongside a doctor to reduce the workload . A supplWith the increase in clinical knowledge and skills being taught and applied to other healthcare professions the role of independent prescriber was created in 2006, which included pharmacists . This roA major change in the law occurred in 2012 with the introduction of the Human Medicines Regulations . This alWith the UK Government reviewing the impact of annual influenza absences and the pressure for new roles to be allowed to pharmacy the first pharmacy flu vaccination services were introduced in 2007 as a private service utilising PGDs. This continued until 2015 when it was extended and included as a pharmacy NHS funded service.Alongside the provision of seasonal influenza vaccinations other vaccination services supplied by PGDs and Pharmacist Independent Prescriber (PIPs) evolved such as travel vaccinations and the supply of antimalarials for prophylaxis. With the austerity measures imposed on public spending private clinical services were considered as a part solution to maintaining financial solvency.In late 2017 the PHE was tasked with a consultation between professionals to consider if the total withdrawal of all vaccines for pre-travel should be removed from the NHS [The significance of the changes to practice working at a faster rate than legislative changes has led to the introduction of support networks for pharmacists providing travel health service using telemedicine or at distance triage services completed by a nurse or doctor .Within the pharmacy population in the UK, 49.2% of pharmacies are owned by groups and termed large multiples. Examples of these include Boots, Lloyds, Well, Rowlands and the supermarket groups of Asda, Morrisons and Tesco. Other smaller independents provide 12.4% and the remainder is made up small chains (<3 outlets) and independents 38.4% of the market [Access to travel health or medicine services is varied and one type of model includes a risk assessment being completed externally by a doctor, nurse or pharmacist and then the vaccination or anti-malarial supply being authorised by either a private prescription or directed to a pharmacist through a Patient Specific Direction (PSD). .Other pharmacies, allow an online booking service to be made with one of its selected stores for a risk assessment lasting up to 40 min. The clinical support and backup is provided by a nurse led service to which the pharmacist can refer. The pharmacist can administer the vaccinations and supply the medication at the appointment.The UK legislation differs at this point regarding the regulation of the standards of practice between solely organised pharmacist clinics and those by other healthcare professions. The regulating body in England, the Care Quality Commission (CQC) regulateA small independent survey study in 2018 concluded that a pharmacy travel health service was well accepted by patients and met their needs, providing a value for money service .With the supply of POM medication made by pharmacists either under a PGD or as an Independent Prescriber the professional expectation is that the standard of training to use these preparations should be of the a similar standard at an advanced level. Within the UK there is no legal requirement to have received any formal advanced level training before using a PGD and whilst an Independent Prescriber qualifies in a defined area of competence, they are legally allowed to prescribe any medicinal product outside of their competence, including controlled drugs.To ensure that basic immunisation is practiced correctly the GPhC in alliance with the Royal College of Nursing and Public Health England have published a document that lists the national minimum standards and core curriculum for immunisation training for registered healthcare practitioners .For those pharmacists who do elect to undertake extended training there are ranges of courses in travel health that are shared with other professions allowing an equality between practitioners. Examples of this can be found at the centres of excellence of in London, Liverpool and Glasgow. Details of the courses available to pharmacists are seen in Additionally an external representative body, the British Global Travel Health Association (BGTHA) has produced its own e-learning programme that is currently awaiting accreditation.The Association of British Travel Agents travel trends report indicateWithin the UK the changes in national legislation have provided wider and more extensive powers for pharmacists to supply POM medication. The term travel health is undefined and yet to be recognised by the General Medical Council as a medical speciality. The consequence is that a pharmacist can initiate a travel health service and the levels of service being offered can vary from the supply of antimalarial medication to specialists who have completed an extensive level of training. To become competent in travel health, pharmacist practitioners should consider the need to complete an independent prescribers course, a recognised formal qualification in travel health and membership to a medical Royal College. This has been accomplished by a small number of pharmacist practitioners, however the practice of travel health without all of the additional skill sets, relies on the pharmacist to understand the limits of their competency when assessing and providing a clinical service.As highlighted before, the supply function of POMs can be made using a PGD, however no mandatory training on the use is required to use these. The other supply function is using an independent prescriber that trains in a specific area of competency but are legally allowed to prescribe any POM. A consequence of this is that pharmacist independent prescribers can supply travel health medication without being specifically trained in the specialist clinical area.The professional guidelines advise that independent prescribers should only practice within their competency and that PGDs are only used following specific training. Due to the complex nature of travel health a review is required of the supply provision and training and that should include arrangements for referral of complex patient cases to specialist pharmacists. The need of specialist, mandatory training is supported by the Faculty of Travel Medicine who have published a statement indicating that there is no licensing or checks on the level of care and that travellers are at risk .By comparison in Alberta, Canada pharmacist provided travel health services are supplied by suitably trained pharmacists with basic life support skills and prescribing skills. The additional requirement is the completion of a formally recognised qualification in travel health, such as the Certificate of Knowledge of the International Society of Travel Medicine .Travel health provision through UK community pharmacies is well advanced due to changes in national legislation. The supply of POM medications using PGD and independent prescriber services allows any pharmacist to privately supply travel health medication; however the minimum skill base to provide these services remains undefined and not legally required. To ensure the ongoing safety of travellers then the UK licensing authorities need to consider working with the specialist education providers to define minimum standards of competence for pharmacists. The formal training of advanced level services available to pharmacists is supplied through a single awarding institution, with other institutions selectively offering to medical practitioners and nurses only. To match the demand of pharmacist level travel health services more formally certified post-graduate courses in travel medicine would need to be made available. The future would indicate that with more people travelling there would be an increased demand on travel health services in the UK."}
+{"text": "Humans are influencing the global carbon (C) cycle due to the combustion of fossil fuels and due to changes in land use management. These activities are fostering the manmade greenhouse effect and thus global climate change. Negative effects for life on earth are accounted for.Among others the international climate debate focused attention on forests and forestry, knowing about their considerable influence on global climate change. Whilst the global C budget is described fairly well, there is a lack of regional data describing the C reservoirs and flows in detail. This has to be constituted especially for forests in developing countries.This paper presents an investigation at regional scale of the C reservoirs in a South American forest ecosystem. The investigation puts emphasis on the area and stand volume estimation and the development of expansion and reduction factors. Vegetation types are classified and stratified, determining the corresponding areas and estimating the stand volume. Converting factors are developed to calculate C in branches and roots as a percentage of standing wood measured by inventories."}
+{"text": "Voice-activated digital assistants are an emerging technology that have great potential to provide support for adults aging with a long-term mobility disability. Digital assistant technologies allow the user to perform a variety of everyday tasks and activities through voice interactions. Such tasks may include environmental control ; supporting self-health management ; and fostering opportunities for social engagement . This presentation will focus on the perceived facilitators and barriers to digital assistant use in the home among adults aging with mobility disabilities. The findings provide design guidelines and insight for intervention implementation for the use of these technologies for the target population."}
+{"text": "Despite being discovered over 50 years ago, and its close association with the development of several important human cancers being well-documented, Epstein Barr Virus (EBV) continues to be a source of important information on how viruses can contribute toward the development of human cancer. EBV is known to be an important carcinogen, but because of its large genome (around 172 kb), much still remains to be discovered about its normal viral life cycle and how it drives malignancy at different anatomical sites.In a recent study in PLoS Pathogens (Lyu et al., Studies such as this are exciting because they begin to define how these viral miRNAs can both contribute toward malignant development and provide favorable environments for viral replication. It will now be very interesting to determine whether blocking the function of these miRNAs has any potential therapeutic applications.In contrast to EBV, two viruses that have only more recently gained notoriety are Dengue and Zika, which belong to the family of Flaviviruses. These viruses are mosquito-borne and represent major and growing health problems in many parts of the world. Whilst a great deal of attention has been placed on understanding the immunology underlying clearance of infection with these viruses, much less is known about the underlying mechanisms by which the viral gene products interact with components of the host cell.In a proteomic tour de force published in the recent issue of Cell (Shah et al., Since Shah et al. provide data on both the mosquito and human viral interactomes, this opens the way for studies to specifically characterize the functions of different viral proteins in the two different hosts and may offer leads for the development of novel therapies or preventative measures.The author confirms being the sole contributor of this work and has approved it for publication.The author declares that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Colijn et al.). Quantifying patient similarity is an important challenge that is critical in predicting patients' disease trajectories patient similarity concept has been introduced as a paradigm shift in optimizing personalisation of patient care.Appropriate mathematical tools and methodologies are critical for ensuring robust and reliable computational model predictions based on medical and healthcare data in the era of the digital health revolution of statistical learning in the model space for Attention-Deficit Hyperactivity Disorder medication response prediction at individual patient level. Mental health is intimately related to neurological diseases and brain modeling for neurological disease treatments .Applications of mathematics in healthcare are achieving unprecedented growth at vertiginous speed in a vast number of areas. Mental health presents a formidable challenge in our modern society and computational psychiatry has recently emerged as well as type 1 diabetes . Chronic diseases are often extremely complex leading to computational models formulated in high-dimensional space, which poses a challenge for characterizing the pathways of disease progression or patient-specific disease progression trajectories as discussed in Colijn et al. Computational cardiology encompasses mathematical modeling and computer simulation of dynamical processes in the heart and the cardiovascular system in health and disease . Computational cardiology applications could help in improving clinical decision support systems in cardiac ablation therapy for example . Moreover, the use of collections of patient-specific models could provide a tool for pre-clinical and clinical assessment of disease pathology such as atherosclerosis and associated calcification .Non-negligible effort is currently being devoted to capturing disease progression, a real challenge in this field. Disease progression modeling involves simulations of disease evolution based on available biomarkers or other time-dependent measures of disease status. This is particularly important in the case of chronic (non-communicable) diseases as demonstrated in this special issue in the case of hypertension presents a network-based statistical methodology for cancer biomarker selection. Computational and mathematical pharmacology is becoming increasingly relevant for drug development. Mechanistic models has become more and more widely used and our understanding of the models' qualitative and quantitative behavior has improved as well as the estimation of drug absorption profiles in-vivo .Computational oncology broadly refers to computational modeling and simulations of biological process underlying tumors' development and progression as well as cancer therapy including cancer biomarkers and drug effects . This special issue presents several examples of such methodological developments in the case of quantifying: the biomechanical properties of human gallbladder ; the forces involved in abrasion damage to skin ; and intracellular calcium signals .Robust quantitative methods for identifying biologically/physiologically relevant computational model parameters from experimental data are critical for the successful applications of computational medicine in precision healthcare that are necessary for implementation of precision healthcare as well as to inform public policies related to vaccination, for example see .Infectious disease modeling including the underlying mechanisms is becoming increasingly important in the face of the anti-microbial resistance and its associated clinical and public health burden (de Kraker et al., By no means the topics included in this special issue are exhaustive. They are rather indicative of a wider range of problems specific to computational medicine that not only can be tackled by available mathematical approaches but also inspire the development of novel tools and techniques. Examples of methods that have not been included are machine learning and artificial intelligence for electronic health records analysis and usage (Callahan and Shah, KT-A and VD-Z conceived and wrote the editorial.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "The Journal retracts the 20 September 2016 article cited above. Following publication, the authors discovered through further analysis that the species of bacteria discovered in this study was resolved in error.This retraction was approved by the Field Chief Editor of Frontiers in Microbiology."}
+{"text": "An error was found in the first and second sentence of the original article's abstract.It had originally been published as:Hereditary inclusion body myopathy (HIBM) is a rare autosomal recessive adult onset muscle disease which affects one to three individuals per million worldwide. This disease is autosomal dominant and occurs in adulthood.The corrected sentences should read:Hereditary Inclusion Body Myopathy (HIBM) is a rare autosomal dominant or recessive adult onset muscle disease which affects one to three individuals per million worldwide. This disease is autosomal dominant or recessive and occurs in adulthood.The authors apologize for this error and state that this does not change the scientific conclusions of the article in any way.The original article has been updated.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "This paper is a commentary on the training of Chinese Primary Health Care Doctors to reduce chronic illness and its burden. First, we will consider the policy position of the Chinese government concerning the development of a competent and enlarged primary physician workforce to deliver the proposed primary health care system reforms. We then turn to a review of the drivers of the high burden of chronic illnesses especially in older people in China. We argue that the curriculum for the training of primary health care medical practitioners should match the demonstrated high prevalence chronic illnesses and their risk factors and that there needs to specific competencies in prevention and mitigation of the diseases and their risk factors. The various policy statements from the Chinese State Council and the China has also recognized the need for expansion of its primary care physician workforce and has set ambitious targets for the growth in this workforce . Its phyIn designing training systems for the Chinese primary care physician workforce it is necessary to understand the health needs of the people that the workforce is intended to service . The popThe United Nation's Sustainable Development Goals for 2030 include The China Joint Study Partnership comprising the World Bank Group, the World Health Organization, the China Ministry of Finance, the National Health and Family Planning Commission, the Ministry of Human Resources and Social Security recentlyHowever, the Deepening Reform report differs Shaping a tiered health care delivery system in accordance with People-Centered Integrated Care modelsImproving quality of care in support to People-Centered Integrated CareEngaging citizens in support of People-Centered Integrated CareReforming public hospitals and improving their performanceRealigning incentives in purchasing and provider paymentStrengthening health work force for People-Centered Integrated CareStrengthening private sector engagement in production and delivery of health servicesModernizing health service planning to guide investment.https://www.cochranelibrary.com/ which at the time of writing had 162 systematic reviews of patient centered care with almost universally successful results). A further key feature of the Deepening Reform report is its evidence-based philosophy. The report focusses on what can be done to improve the efforts in the delivery of services that address the demonstrated health needs of the Chinese people.The central inclusion of the concept of People-Centered Integrated Care reflects best global health care practice . This isWhile all the identified \u201clevers\u201d are certainly worthy of attention, our focus as educators of primary health care physicians in this commentary is on delivering the required numbers of appropriately trained doctors to participate in the new reformed Chinese system. This raises the question of what should be included in an appropriate Chinese primary care physician curriculum?We have made substantial progress in the development of the Shenzhen standards for primary care physicians. We have critically analyzed the major Western General Practice clinical standards. The new Shenzhen standard was developed using rigorous modified Delphi procedures with a large expert panel building on a detailed analysis of relevant international standards. Embedded in the standards are assumptions about what doctors will and should do in their everyday practice. We have separately reported the Shenzhen standards development in another publicationThe major illnesses associated with China's disease burden have been studied in detail by many government bodies and academic researchers. The same lists emerge from these analyses. The Deepening Reform Study and the Stroke (35.9 million DALYs)Malignant neoplasms (30 million DALYs);Ischaemic heart disease (22.6 million DALYs);Respiratory diseases (16 million DALYs);Diabetes mellitus (5.6 million DALYs);Mental health conditions such as depression, suicide and dementia (5.3 million DALYs);Hypertensive heart diseases (3.6 million DALYs); andFalls (3 million DALYs).Thus, it is evident that primary health care physicians require a substantive knowledge of these conditions and their prevention and management. This is how many medical curriculums are organized with a list of key conditions to be covered.However, we consider that the second key focus is the need for primary care physicians to identify and to mitigate and control the risk factors that exacerbate the main diseases. To mitigate these risk factors requires a quite specific skill set. The same analyses have identified risk behaviors amongst the Chinese population that exacerbate the above list of diseases. For example, smoking is a key health risk for most of the above list of diseases/ conditions. But there are others that the WHO analysis has idenDietary risksHigh blood pressureSmokingHigh fasting glucose levelsExposure to air pollution andPhysical inactivityWhile our focus for this paper is behavioral risk factors that can be mitigated in the primary health care setting, in order to address behavioral risk factor mitigation in China we recognize that multi-level approaches are needed including a systematic approach to chronic illness management within the health system, public health interventions, as well as primary health care physician training in behavior change approaches. In China, as discussed previously, the Deepening Health Reform in China monograph , developIn the United Kingdom and Australia, chronic illness management systems have been strongly influenced by the Wagner Chronic Care Model and a foIn Australia, General Practitioners (GPs) are funded by the national health insurance system and government to provide longer consultations and care planning for patients with chronic illnesses . A recenMedication management in primary care in people with chronic illnesses has been a particular focus in Australia and world-wide. Polypharmacy, the prescription of potentially inappropriate conflicting medications has been recognized a potential risk to patients with chronic illness and the typical pattern of multimorbidity. However, the effectiveness of polypharmacy reduction programs \u201322 and tChronic illness management also needs to address mental health co-morbidities. Since 2006 the Chinese Government policy has promoted the detection and treatment of mental illness in primary care settings through integrated mental services . Yet traPublic health approaches are also an important part of addressing behavioral risk factors at the population level. Smoking is an example of the need for combined regulatory, public health and primary care approaches. For example, to reduce smoking rates, strategies such as increasing excise on tobacco, regulating smoking advertising, banning smoking in public places, public health education and health promotion programs and plain paper packaging have been used in Australia and other western countries to reduce smoking levels . In ChinAddressing physical inactivity is another important risk factor for poor health and chronic illness prevention and management that requires primary care and public health interventions as well as legislative approaches. In a review of national policies to increase Health Enhancing Physical Activity (HEPA) in seven European countries, Bull et al. reportedThe Chinese National Fitness Plan (2016-2020) aims to increase physical activity and population health . The plaThere has been significant Chinese work in clinical trials and systematic reviews of this issue. For example, we examined the therapeutic effects of motivational interviewing on blood pressure control by conducting a meta-analysis of randomized controlled trials . The revThere is widespread agreement about the need to appropriately train general practitioner physicians so that they may deliver high quality and effective care to their patients. There is also strong evidence that there is a global shortage of skilled practitioners and China has particular needs to develop the talent pool to support its ambitious primary care reform agenda. We have argued that primary care physician training needs to be informed by rigorous analysis of the causes and underlying risk factors for high burden of disease conditions. These conditions and their treatments have been well-researched and there is a strong evidence base. We propose that to effectively prevent and mitigate the many chronic conditions and diseases that are caused and exacerbated by lifestyle factors requires high level behavior change skills, mental health detection and management skills and other patient management skills that need to be included in the Chinese primary care physician curriculum.http://datatopics.worldbank.org/world-development-indicators/Publicly available datasets were analyzed in this study. This data can be found here: All authors listed have made a substantial, direct and intellectual contribution to the work, and approved it for publication.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Based on rapidly increasing numbers of older adults and growing populations of culturally diverse citizens, we developed and provided an interprofessional education program for graduate nursing and social work students that focused on the delivery of care to older adults and veterans with multiple chronic conditions. The students participated in multiple activities together over a year long period. Activities included an introductory IPE day with all students together and simulated patient cases that had required roles for the students\u2019 specialties. Knowledge and skills of interprofessional collaborative practice were measured with the Interprofessional Self Assessment Competencies (IPEC) and Assessment of Interprofessional Team Collaboration Scale (AITCS). We also measured attitudes toward cultural differences using the Cultural Awareness Scale (CAS). The entire project was repeated a second year with a second cohort of students. Overall, our students were better able to understand and work collaboratively with other health care professionals after participating in this program. Regarding cultural awareness, both NP and SW students were more aware of and comfortable with cultural differences after participating in the program. After one year of experience, we wanted to know more about our students\u2019 skills and attitudes. Focus groups were added to the design to dive deeper into the students\u2019 perceptions about which activities were most impactful and recommendations for future IPE activities. This paper will describe these data and implications for future planning of more effective interprofessional and cultural programming for students caring for older adults and veterans."}
+{"text": "In addition to the broad panel of aging related biomarkers available in HRS, we will describe measurement of novel aging biomarkers such as telomere length and mitochondrial DNA copy number in 4000 HRS participants. Both these biomarkers were measured in DNA obtained from whole unsorted blood using quantitative real time polymerase chain reaction (PCR) and were adjusted for individual cell composition measured from flow cytometry. We will describe the relationship between these two biomarkers and other measures of biological age available in HRS. Differences in these two novel aging biomarker by socioeconomic status, race/ethnicity, and exposure to early life hardships will be presented to clarify the value of the data to further unravel how social factors get under the skin to affect the process of aging."}
+{"text": "In order to provide effective mental health care to older adults with major neurocognitive disorders within outpatient mental health clinics, mental health practitioners must possess a basic understanding of these disorders, the needs of and challenges faced by people living with dementia and their families, and effective treatment approaches for this population. The Mental Health Gero-Champions Program was established in 2015 at a large Veterans Affairs medical center with the aim of providing clinical support and opportunities for training to multidisciplinary mental health providers to enhance skills in assessing and treating older adults with neurocognitive disorders. This presentation will provide an overview of the Mental Health Gero-Champions Program, describe the development and implementation of this program, and discuss challenges and successes in sustaining this transformative initiative over time."}
+{"text": "Chlamydomonas to the addition of acetate during day/night cycles\u201d icl mutant, a null mutant of the isocitrate lyase gene, and its control are summarized and the FPKM values are listed. The data were analysed using surprisal analysis and the genes contributing the strongest to the mutant and wild type phenotype are listed. The raw data are accessible at BioProject PRJNA437393 with SRA accession number SRP136101 (experiments SRX3824204\u2013SRX3824249). The raw data set and expression values used for surprisal analysis are made public to enable critical or extended analyses.The data presented in this article are associated to the research article \u201cSurprisal analysis of the transcriptomic response of the green microalga Data shared concerns the reads information for each biological replicate (The dataset of this article provides information on raw RNA-seq reads obtained from the eplicate , the FPKeplicate , the numeplicate , the liseplicate .List of shared data is found in the 2Chlamydomonas to the addition of acetate during day/night cycles\u2019 by Willamme et al. The experimental design has been described in the accompanying research paper (\u2018Surprisal analysis of the transcriptomic response of the green microalga"}
+{"text": "We consider the human genetic targets of many proven and hypothesized pharmacologic interventions meant to promote healthy-aging and explored not only how polymorphic these targets are in the human population, but also whether these polymorphisms have been shown to impact longevity and age-related phenotypes in general. We also determined if polymorphism in the genes or proteins modulated by healthy-aging interventions have been shown to also modulate the expression levels of those genes and proteins and whether they have been subjected to mediation analyses testing their potential causal relationships to aging and longevity phenotypes. We compare our results to studies of other classes of drugs used to treat specific conditions, such as hypertension."}
+{"text": "A radiographer has the unique advantage of directly seeing the patient and presenting injury at the time of imaging. Extending this skill set to further evaluate the image acquired and document the findings may be helpful in reducing diagnostic errors in emergency department. Since the invention of X\u2010rays, medical imaging has played a prodigious role in the field of medicine, with it being an important and at times the only diagnostic tool amongst an array of investigative methods available to a healthcare practitioner. Emergency departments (ED) form the frontline defence for a healthcare system, and with increasing activity seen throughout Australian departments,Due to the constant rotation of junior doctors in and out of the ED, coupled with the spectrum of skills that junior doctors are required to develop, the consultant group in my ED are always considering new processes/initiatives that assist in mitigating error. One such initiative is radiographer preliminary image evaluation (PIE). The introduction of a PIE system in 2016 into my ED has seen an extra layer of safety implemented for patients whose radiographic images are interpreted by referring healthcare practitioners such as medical doctors, nurse practitioners and physiotherapists. Healthcare practitioners are advised to initially review the radiographic images and make an assessment before checking their assessment against the radiographer PIE. This workflow assists referrers in developing their image interpretation skills by having an immediate second opinion.A radiographer has the unique advantage of directly seeing the patient (and presenting injury) at the time of imaging. This scenario along with their knowledge and expertise of radiography promotes the acquisition of high\u2010quality X\u2010ray imaging. This also provides the radiographer with an extra edge at interpreting the radiographic images when compared to the referring practitioner and the reporting radiologist. Radiographers in a public healthcare system may form a stable workforce when compared to junior doctors who tend to rotate between multiple specialities, and training a radiographer would be more cost\u2010effective and may result in consistent image interpretation.In reference to the study by Brown et al.Following review of the findings of this audit, an additional process was employed to reduce errors that may have occurred from the radiographer's incorrect PIE. This process involves the reporting radiologist flagging examinations where a discrepancy exists between the radiographer's PIE and the radiologist's report. These discrepancies are reviewed by a senior radiographer who compares the radiologist report to the ED diagnosis. If a true discrepancy exists, the senior radiographer notifies an ED consultant and requests the case to be reviewed. I believe this additional process improves the overall diagnostic accuracy of our service, thus reducing error.Some ED radiographs such as obvious dislocations or fractures, or injuries of fingers and toes may not require formal reporting by a radiologist. The adoption of a selective reporting policy may reduce the reporting workload of the radiology department without compromising patient careRadiographer PIE is likely to benefit both the patients and ED in reducing missed injuries and reducing recall rates. For any ED who is planning on implementing such a system, it is important to clearly advertise and communicate the process prior to implementation with regular reminders of the availability of such a process. Regular audits on efficiency and a robust verification platform are crucial to the effective functioning of PIE by radiographers. Further research into comparing the accuracy of ED referrer interpretation and radiographer evaluation of radiographic images and also the combined accuracy of the ED referrer and radiographer versus radiologist's interpretation will give better understanding of the future direction of the radiographer image interpretation role to improve patient outcomes in ever\u2010demanding ED.The author declares no conflict of interest."}
+{"text": "Parkinson's disease (PD) is a neurodegenerative disease caused by a reduction in dopaminergic neurons in the substantia nigra or rate of perceived exertion (RPE). Prescribing intensity using heart rate responses should not be recommended, as many individuals with PD exhibit autonomic nervous system (ANS) dysfunction and are prescribed medications that can interfere with heart rate responses and heart rate variability within the National Institutes of Health (NIH) has called for research scientists to consider sex when designing study protocols to allow for both men and women to receive the full benefit of medical research (National Institutes of Health, All authors listed have made a substantial, direct and intellectual contribution to the work, and approved it for publication.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Early definitions of ageism as prejudice, attitudes and discrimination tend to stress the cognitive aspects of the processes where groups of people are being marginalized and/or excluded because of their age. This differ from recurrent studies which emphazise social categorization such as age and gender as a dynamic social positioning practice and as a complex form of doing age as marginalization and exclusion. Based on qualitative interviews with eleven men between the ages of 56 and 74, who work with manual labour at a steel company in Sweden, this paper discusses the processes where age normality and ageism are constructed in parallel. Departing from the concept age coding; distinctive practices associating a context or a phenomenon with demarcated ages, it shows the disciplining dimension of ageism. The paper concludes with a reflection on the central position which ageism can have in neo-liberal governance by creating social insecurity among older workers."}
+{"text": "This paper examines the effect that a man\u2019s retirement has on his wife\u2019s mental and physical health. I exploit the large increase in the probability of retirement at the legal retirement age for urban male wage earners in China as a natural experiment, using data from the China Health and Retirement Longitudinal Survey (CHARLS). I have implemented a fuzzy regression discontinuity design to compare the health outcomes of women whose husbands recently retired with those whose husbands are close to retire. My findings indicate that the retirement of her spouse improves physical and mental well-being of the woman, most likely by increasing the frequency of her social interactions and exercising. Although income and marital quality are less likely to be the main channels through which this positive spillover effect operates, decreased marital satisfaction or severe income constraints can be binding."}
+{"text": "This is not surprising since PCMO often resolves spontaneously and can be compatible in mild to moderate cases with good vision. Further, there is no standard means to diagnose PCMO and thus definitions and incidence vary widely among published studies. We agree with the authors' suggestion that confusion surrounding the use of NSAIDs may have arisen from the lack of an accepted diagnostic criteria for PCMO.The article by Donnenfeld et al has also been included as evidence that PCMO was lower in groups where NSAIDs were commenced between 1 and 3 days preoperatively.The review article does allude to the challenges faced in providing advice on prophylaxis of PCMO when citing the report by the American Academy of Ophthalmology. A subsequently published editorial by the same author however questioned how prescribing NSAIDs for routine cataract surgery had become popularized without compelling evidence of visual benefit to patients.The authors have provided a significant review of a complex topic. However, the statement that topical NSAIDs remain the mainstay in the prophylaxis and treatment of PCMO is not supported by the literature reviewed. We hope that this letter may raise awareness of these issues to the readership.None declared."}
+{"text": "To the Editor: We read with interest the article by Olesen and Grad by antimicrobial-resistant bacteria. The New Zealand study found that dispensing rates of topical antimicrobial agents (predominantly fusidic acid) for Pacific and Maori children were approximately twice those for children of other ethnicities and suggested that these high dispensing rates might have contributed to the higher proportion of staphylococcal infections caused by methicillin-resistant (and fusidic acid\u2013resistant)"}
+{"text": "Following in the footsteps of the first JND special issue in 2018, highlighting the work of the Eunice Kennedy Shriver Intellectual and Developmental Disabilities Research Centers (IDDRCs), this year again showcases the work of the IDDRCs and honors the distinguished career of Dr. Jean de Vellis, world-renowned scientist in the study of white matter pathophysiology and long-standing director of the UCLA IDDRC. As eloquently described in the dedication [Much of the promise in studying white matter comes from the potential this neural structure has for developing new treatments. In a review of both mouse models and clinical work , the novIn addition to investigations of white matter morphology, a key aspect of thinking about novel treatments has come from thinking about inflammation and the negative impact this may have on neurodevelopment. Investigators at the Children\u2019s Hospital of Philadelphia IDDRC present exciting work demonstrating that inflammation caused by Th2 cytokines during early brain development can be rescued with the application of IL-4 antibody treatment in the newborn rat . This woAs may be evident by work focusing on these neurodevelopmental disorders, a key benefit of approaching treatment stems from an ability to change developmental trajectories by acting early through specific interventions. In a comprehensive study examining motor neurons in a Down syndrome mouse model (Ts65Dn), the investigators demonstrated clear changes in the spinal white matter composition across the lifespan . This woThe articles included in this special issue highlight the advances made in understanding white matter in neurodevelopmental disorders that investigators across the IDDRCs strive to tackle daily. By approaching these questions from both clinical (human) and basic neuroscience perspectives, both sides gain knowledge and move forward to the goal of better interventions. We hope that the work showcased in this special issue underscores the promise for developing targeted treatments in neurodevelopmental disorders that comes from these investigations. Many of the IDDRCs contain researchers influenced and inspired by the groundbreaking work Jean de Vellis began. We hope that this special issue also serves to honor his legacy to the field."}
+{"text": "The protracted war in South Sudan has led to severe humanitarian crisis with high level of malnutrition and disruption of the health systems with continuous displacement of the population and low immunization coverage predisposing the population to vaccine preventable diseases. The study aimed at evaluating the effect of integrating immunization services with already established nutrition services on immunization coverage in resource-constrained humanitarian response.A community and health facility based interventional study involving integration of immunization into nutrition services in two Outpatient Therapeutic Program(OTP)centers in Bentiu PoC between January-December 2017. The main hypothesis was that inclusion of immunization services during nutrition services both at the OTP and community outreaches be an effective strategy for reducing missed opportunity for immunizing all eligible children accessing nutrition services. Data analyzed using STATA version 15 and bivariate analysis using logistic regression was conducted to identify predictor of missed vaccinations.Integration of immunization into the nutrition services through the OTP centres increased the number of children immunized with various antigens and the dropout rate was much lower and statistically significant among children who received immunization at the OTP centers than those in the Primary Health Care Centers (PHC Centers) in the study sites. Children who were vaccinated at the OTP centre in sector 2 were 45% less likely to miss vaccination than those vaccinated at the PHCC , p<0.05 while those vaccinated at the OTP sector in sector 5 were 27% less likely to miss vaccination than those vaccinated at the PHCC p<0.05).This study indicated that immunization coverage improved effectively with integration with nutrition services as a model of an integrated immunization programme for child health in line with the Integrated Management of Childhood Illnesses (IMCI) and the Global Immunization Vision and Strategy (GIV). Expanded Program on Immunization (EPI) has become one of the most successful public health programmes, reaching over 85% of the world's children . HoweverWHO and UNICEF developed the Global Immunization Vision and Strategy (GIVS), in 2005, to expand the reach of EPI, and prevent more disease . One of Justification for the study: The OTP centers are located few meters to the PHC centers where immunizations are being conducted and mothers were usually asked to go to the PHCC after being attended to at the OTP centers for their children immunization. However, it was observed that most of the children referred from the OTP centers to the PHCC for immunization services didn't go. During a focus group discussion conducted among the mothers/care givers some of the reasons given by the mothers/care givers for not taking their children for immunization at the PHCC when referred from OTP centers included being tired after spending some considerable time at the OTP centre and the need to go back home to continue their work or household chores. Some caregivers reported that on few occasions they went, the vaccinators were not around to provide the services or being asked to queue up again on getting to the clinic instead of being attended to immediately while others reported they forgot the immunization cards and had to go back home but late to go back to the clinic for that day leading to missed opportunity to improve immunization coverage in the camp.This was a community and health facility based interventional study during which immunization services were integrated with nutrition services in OTP centres and nutrition outreaches where immunization was previously not provided. All children under 5 years seen at the OTP centres and during nutrition community outreaches were all assessed for their immunization status and provided with appropriate immunization needed during the course of the study between January-December 2017. In the 2 OTP centers where the intervention was implemented, vaccinators were recruited to join the nutrition team to provide immunization in the OTP centre. During community outreaches and at the OTP centers the client flow as arranged so that all children who visited the centre either on follow up visit or new cases or during mass nutrition screening conducted by the Community Nutrition Volunteers were first assessed for immunization status before being screened or and enrolled into the nutrition program. The community nutrition volunteers were trained and supported to include health education and promotion messages on immunization in addition to the routine nutrition education and counselling being provided. In addition, during mass screening for malnutrition using MUAC tape being done and Infant and Young Child Feeding (IYCF) counselling the immunization status of all children were assessed and appropriate vaccination provided by the vaccinators who was part of the team. The community nutrition volunteers tracked children who defaulted from both the nutrition and immunization programs using the facility records and child health cards. The defaulter tracking was incorporated as part of the community outreaches so any child who had missed any immunization session was appropriately vaccinated. The main hypothesis was that inclusion of immunization services during nutrition services both at the OTP and community outreaches be an effective strategy for reducing missed opportunity for immunizing all eligible children accessing nutrition services.Study site: The study was conducted in Bentiu Protection of civilian (PoC) site in Rubkona County, Unity State established in December 2013. There were 112,140 IDPs and 20,219 households seeking protection in the site and is divided into 5 sectors (sector 1-5) [tor 1-5) . There aSampling: Purposive sampling was used in the selection of the two OTP centres out of the 3 OTP centres in the camp used for the study. The two OTP centres (the only one in sector 2 and one out of the two in sector 5) were those the nutrition implementing partner agreed to integrate immunization into nutrition activities at OTP centres and community outreaches.Data collection and analysis: All immunised children were routinely tallied and recorded in the national immunization registers to ensure accuracy during immunization sessions both in the OTP and during outreaches and all children had their vaccination status recorded in the child health card every time immunized which was used to determine the next vaccines and identify any child who had missed any immunization sessions during defaulter tracking in the community. The immunization coverage for various antigens were analysed and the immunization coverage among children receiving nutrition services both through the OTP and outreaches was compared with the immunization coverage for various antigens in the primary health care centres which routinely provide immunization services. Data were entered and analyzed using STATA version 15 and excel analysis software. The primary outcome measure was receipt of appropriate antigens by children assessing nutrition services and the secondary outcome measure was dropout in vaccination. Proportions were calculated for categorical variables and summarized into tables and figure for univariate analysis. Bivariate analysis using logistic regression was conducted to identify predictor of missed vaccinations. Odds Ratio (OR) and 95% Confidence Interval (95% CI) were used to estimate the strength of association between independent variables and the dependent variable. The threshold for statistical significance was set at p < 0.05. The dropout rate was calculated as a percentage of the difference between first and third pentavalent vaccine dose.Ethics approval and consent to participate: The State Ministry of Health, Liech State reviewed and cleared the use of data, contents and publication of this manuscript.The comparison analysis of the immunization data showed that more children were immunized with various antigens in 2017 than in 2016. In sector 2 in 2016, the total number of children immunized with BCG vaccine was 985 compared to 1366 vaccinated with BCG vaccines in 2017, likewise the number of children who received third dose of Oral polio vaccine was 987 in 2016 compared with 1653 in 2017. The number of children vaccine with third dose of pentavalent vaccine and measles were 1002 and 2693 respectively in 2016 which were less than 1783 and 3357 children vaccinated with third dose of Penta valent vaccine and measles respectively in 2017. Similarly, in sector 5 in 2016, the total number of children immunized with BCG vaccine was 1721 compared to 2045 vaccinated with BCG vaccines in 2017, likewise the number of children who received third dose of Oral polio vaccine was 1463 in 2016 compared with 2131 in 2017. The number of children vaccinated with third dose of pentavalent vaccine and measles were 1103 and 2987 respectively in 2016 which were less than 1917 and 3916 children vaccinated with third dose of Penta valent vaccine and measles respectively in 2017 .rd dose of Oral polio vaccine and Pentavalent vaccine respectively. A total of 1721(43.9%) and 743(30.3%) of children immunized in Sector 5 with measles and injectable polio vaccine respectively were immunized through the OTP centre of them immunised with BCG vaccines while 502(30.5%) received the third dose of Oral Polio Vaccines, 687(41.2%) were vaccinated with the third dose of pentavalent vaccines and 1482(90%) vaccinated with measles vaccines. In sector 5 OTP centre, a total of 2712 malnourished children were enrolled into the nutrition program during the study with 934(34.4%) of them immunised with BCG vaccines, 951(35.1%) received the third dose of Oral Polio Vaccine, 1096(40.4%) vaccinated with the third dose of pentavalent vaccines and 1875(69.1 %) were vaccinated with measles vaccines . The anaP centre .rd dose of pentavalent vaccine ( Penta 3) and those who received 1st dose of the pentavalent vaccine(Penta 1) showed that in sector 2, among those children who received the first dose of pentavalent vaccine through the OTP centre, 8.9% did not return for their third dose of pentavalent vaccine while 26.8% of children who received the first does of pentavalent vaccine through the PHCC did not return for the third dose of pentavalent vaccines. In sector 5, among those children who received the first dose of pentavalent vaccine through the OTP centre, 12% did not return for their third dose of pentavalent vaccine while 35 % of children who received the first does of pentavalent vaccine through the PHCC did not return for the third dose of pentavalent vaccines. The acceptable limit is 10% and the Global Immunization Vision and Strategy (GIV) and with adequate planning, integration can improve coverage, combine costs and create synergies. In order to deliver on the promise of Sustainable Development Goals 2 and 3 and dramatically reduce child mortality by 2030 we must ensure that every child has access to life-changing vaccines that not only provide protection against the leading causes of death in children under five, but also contribute to decreasing vulnerability to malnutrition.Limitation of the study: this study is based on review of clinic records and subject to the limitations associated with studies utilizing routine data. In addition, the study did not evaluate the possible impact of immunization status on the nutrition outcome among malnourished children who completed their immunization and those who dropped out.A child who is borderline nourished will tip into malnutrition if he or she contracts an infectious disease such as measles. As part of an integrated health approach, immunization plays a critical role in curbing the devastating impact of malnutrition;Immunization and Nutrition services are mostly vertical program in most countries.The number of children immunized through the integration in the nutrition services contributed greatly to the coverage of all immunization antigens in the project sites;Integration reduced greatly the missed opportunity for immunization services among the vulnerable population.The authors declare no competing interests."}
+{"text": "The article presented an integrated data on talent management practices and innovation performance of academic staff in a technology-driven private university in Nigeria. The study adopted a quantitative approach with a survey research design to establish the major determinants of talent management practices. The population of this study included academic staff and the use of questionnaire was adopted to elicit from the study population. Data was analysed with the use of structural equation modelling and the field data set is made widely accessible to enable critical or a more comprehensive investigation. The findings identified talent development and retention strategies as predictors for facilitating innovation performance in the sample University. It was recommended that management of the sampled university will consistently need to adopt reliable range of strategies to attract and retain people for excellence performance. Talent management is a major determinant of organisational success but highly misconstrued in a competitive and demanding environment like the educational sector. Today, institutions especially the private universities in Nigeria are becoming more conscious of how and why talents need to be identified and managed. Several strategies have been put in place by many private universities to stimulate these practices, but despite the efforts, the issue of turnover, brain drift and low performance still become worrisome especially in the Nigeria\u05f3s context.2The study is quantitative in nature and data were retrieved from staff (teaching and non-teaching) of Covenant University. This paper adopts the talent management measurement proposed by Winfield After validating the data collected from the survey, we further evaluated the structural relationships in the research model. We first use our data to test the benchmark model of Lee and Choi\u05f3s \u03c72 is within the acceptable range of 1 and 3 as suggested by Browne and Cudeck Results in 3An empirical study was conducted to test the proposed research model. Survey instruments were distributed to 350 staff of the leading private university in Africa and has also emerged the winner of the Best Use of Technology Award 2016 among the private universities in Nigeria. The same University among others was awarded the Centenary ICT Driven University of the Year in 2014, the Overall Best University in Nigeria and West Africa and number 15 in Africa on the Webometric Ranking (February 2015) as well as African Private University of the Year (2015), by African Leadership Magazine Group in March, 2016.All participants were selected based on their substantive amount of work experience with the institution; as such they were able to provide useful information regarding the survey questions. Of those surveyed, only 313 respondents filled out and returned the questionnaire without missing or invalid data. Data were gathered from academic staff and non-academic staff directors, and other categories of employees across the institution with the aid of a researcher- made questionnaire based on the works of The collected data were coded and analysed using SPSS version 22. Data was analysed applying descriptive and inferential statistical tests. Importantly, the study participants were selected based on the following inclusion criteria:Inclusion criteria:\u2022Participants were employees of the sampled technology-driven university.\u2022Participants signed the consent form provided and have worked with the firm for a minimum period of 2 years.\u2022Participants were accessible as at the time of the survey and interviews.This paper adopts the measurement proposed by Ueno Even though emerging issues in HRM have received much attention in the management literature over the last decade, only limited research has established how talent management practices can be used to drive on growth and prosperity for many organisations empirically. Motivated by a critical synthesis of literatures and consistent with prior research, our study shows that talent management practices improve innovation performance, which subsequently results in superior organizational performance. The researchers ensured that respondents were well informed about the background and the purpose of this research and they were kept abreast with the participation process. Respondents were offered the opportunity to stay anonymous and their responses were treated confidentially."}
+{"text": "This letter has been written by the components of the European Milk Bank Association (EMBA) Working Group on Human Milk Fortification in response to a recent paper published by Mathes et al. :154) with the aim of drawing attention to the importance of the use of a metabolic marker to adapt protein intake in preterm infants. EMBA Working Group on Human Milk Fortification clarifies further the terminology and some specific aspects regarding individualized human milk fortification. There are two types of individualized human milk fortification: Adjustable human milk fortification and Targeted human milk fortification. Advantages and disadvantages of these methods are summarized. Dear Editor,We read with great interest the paper from Mathes et al. which unWe appreciate the attempt of Mathes et al. to searcOn the other hand we would like to remind them that there is a type of individualized HM fortification method, namely \u201cadjustable fortification,\u201d proposed in 2006 and comprises twice weekly assessments of blood urea nitrogen (BUN) as a marker of protein intake , 4.We are also aware that there is some confusion regarding the terminology around individualized human milk fortification, as we noticed previously , 6. TherThe nutrient and energy requirements stated in the international recommendations refer to the populations not individuals. We know that some infants will require more than the recommended intakes and some less. To find out how much protein an individual infant requires it is important to monitor the physiological response of each baby to the amount received and respond accordingly. In addition, protein and energy requirements may be particularly high in subgroups of infants for example those with bronchopulmonary dysplasia or extra-uterine growth restriction. Therefore fortification of HM should be adapted to specific nutrient needs of each individual infant. Adjustable human milk fortification in this sense is a good compromiseEuropean Milk Bank Association (EMBA) Working Group on Human Milk Fortification We greatly appreciate the clarification by the colleagues from the European Milk Bank Association and we agree to their comments.According to the data we were able to present in our original article (Ref ), it see"}
+{"text": "A critical approach in rural gerontology has led to a better understanding of the complex interplay between older adults unique aging experiences and the multidimensional and dynamic communities in which they live. The evolution of critical rural gerontology will be explored, outlining why a similar approach is needed in rural gerontological health. In particular, rural gerontological health literature must expand beyond a deficit focus that homogenizes older adult health experiences and recognize the complexities of negotiating older adult health within multidimensional rural spaces. Inherent in this approach is recognizing the intersectionality of older adult health as well as the need to study rural gerontological health as an experience enhanced and inhibited by interactions within and across formal health services, informal social services and informal care. This approach will contribute to innovations in policy and practice addressing the burgeoning interest of how to effectively care for older adults in rural settings."}
+{"text": "Pediatric anesthesia has evolved as a subspecialty because the needs of infants and young children are fundamentally different from those of adults: they differ anatomically, physiologically, pharmacologically, emotionally and socially. Children who undergo anesthesia have special needs and all children have the right to receive the highest attainable standard of health in the right environment. The pediatric patient subjected to anesthesia is burdened by a significant increase in perioperative severe critical events that require unplanned immediate intervention to prevent the occurrence of disability or death. A recent pan-Europe multicentre studyThese important and recent data invite us to be aware that anesthesia for children should always be delivered by competent and appropriately experienced anesthesiologists and care teams. Children aged less than 3 years, ASA physical status \u2265 III , with underlying congenital and metabolic diseases and/or undergoing major or complex surgery are those at highest risk for perioperative complications and poor outcome. It is recommended that these children should receive care by an anesthesiologist with specific education, training and ongoing experience in pediatric anesthesia. Anesthesiologists with mixed practice can deliver pediatric anesthesia for healthy children aged >3 years simple and routine procedures provided they have the adequate expertise and regular practice in pediatric anesthesia. They should maintain their competence and skills with regular exposure to pediatric lists and keep their knowledge up-to-date. The practice of pediatric anesthesia should be accompanied by continuous professional development (CPD).How to become a pediatric anesthesiologist? There is still no recognized framework for common and homogeneous pediatric anesthesia training in Europe. In the 90\u2019s FEAPA (Federation of European Association of Pediatric Anesthesia later became ESPA European Society of Pediatric Anesthesia) made recommendations to certify training in pediatric anesthesia which were transposed unevenly in various European countries.However still today there are so many legislative differences among European countries that regulate the statutes of postgraduate training and also in the countries where pediatric anesthesia is recognized as a subspeciality the duration of the fellowship, the supervision and the quality of training are different. There are currently only four national programs for maintenance of anesthesia certification, and these are available only in three countries In Italy, during postgraduate training we have pediatric anesthesia as part of compulsory professional activity in the area core specialistic skills, but the duration and the quality of this training is very different among the University Postgraduate School. So SARNePI and SIAARTI have recently drafted a document in which they define who does what in the field of pediatric anesthesia.Children should receive pediatric anesthesia care in children\u2019s hospitals or in general/district hospitals with dedicated pediatric areas. The pediatric population is too small to allow maintenance of sufficient skills for every anesthesiologist. Care of children undergoing anesthesia should ideally be regionalized in specialized pediatric settings staffed by pediatric anesthesiologists and pediatric nurses. In particular, the most vulnerable pediatric population, such as neonates and infants, those with co-morbidities and with underlying congenital and metabolic diseases as well as children undergoing major or complex surgery require referral to appropriately resourced multidisciplinary pediatric environments. Anesthesia for elective routine operations in otherwise stable and healthy children can be performed in district hospitals by teams with sufficient expertise in pediatric anesthesia. This requires appropriate staffing, equipment, facilities and support services.The most of pediatric surgery is performed in a healthy population, has a short duration and a recovery with few complications, so infants and children are well suited for ambulatory surgery. The frequency of pediatric ambulatory surgery has exploded such that 80\u201390% of pediatric surgery are now performed as ambulatory surgeryThe data we have available requires us centralizing children in the structure of reference with appropriately experienced anesthesiologists and care teams, but can we centralize all healthy children who undergo minor surgery? The answer is NO but the maximum competence of the personnel must be assured by guaranteeing a certain volume of activity. An adequate environment suitable for children with safety standards that must absolutely be present and centralize the most complex cases for pathology, for age and for comorbidity."}
+{"text": "Explore associations between dietary patterns and maternal agePopulation based cohort studyMaternity department of a large hospital in northern EnglandWomen delivering a singleton at Bradford Royal Infirmary between March 2007 and December 2010 .Survey data including maternal dietary patterns derived from food frequency questionnaire data using principal component analysis (PCA) were compared by maternal age using one-way ANOVA and chi-squared as appropriate.Dietary pattern PCA scores, supplement use, familiarity and compliance with 5-a-day fruit and vegetable recommendations, consumption of cola, maternal BMI.Three distinct dietary patterns were derived from the data; snack and processed foods, meat and fish and grains and starches. Mean PCA score for snack and processed foods was higher among women aged \u226419 than women aged 20\u201334 and those aged 35\u2265 . Women aged 35\u2265 had a significantly higher mean PCA score for the grains and starches dietary pattern compared to both the 20\u201334 years and the \u226419 groups. No differences were observed between groups in mean PCA scores for the meat and fish dietary pattern. Adolescent women also had higher intakes of sugar sweetened cola and reported lower levels of fruit and vegetable and supplement intake. Women aged 35\u2265 had a higher mean BMI and higher prevalence of overweight (36.8%) and obesity .Significant differences were observed between age groups both in terms of diet quality and BMI. Interventions targeted by age group may be advantageous in improving maternal nutrition and contribute to healthy pregnancies. Nutrition during pregnancy is a well-established modifiable factor which has the potential to impact upon the health and well-being of both mother and child. Study oOne such factor is the age of the mother during pregnancy. Adolescence is a time of substantial physiological change during which the nutritional needs of adolescent women are likely to differ from those of older women. Previous work examining the impact of maternal growth on outcomes in adolescent pregnancies suggested that nutrient partitioning between mother and child in growing adolescents negatively affected foetal growth and prematurity. A furthA recent systematic review of nutritional status of pregnant adolescents in developed countries found that intakes of energy, fibre and a number of micronutrients were below recommended levels in this population. The stuSimilar results were however reported in two reviews which were not confined to adolescent populations\u20137. This These previous works suggest that there may be nutritional issues that may impact on the health of both mother and child which vary by maternal age. This study therefore aims to assess differences in dietary pattern by maternal age in the Born in Bradford cohort.Born in Bradford is a largely bi-ethnic cohort of approximately 13,500 children with high levels of socio-economic deprivation. Pregnant women who were booked to deliver at Bradford Royal Infirmary were invited to join the cohort between March 2007 and December 2010. A detailed profile of the cohort has been published elsewhere. This stThe following demographic characteristics of the sample reported in the baseline questionnaire were explored; ethnicity, marital status, parity, education, smoking during pregnancy, alcohol and illegal drug use during pregnancy and index of multiple deprivation (IMD) score . Body maDue to the focus of this study being on detecting differences between age groups the study population was categorised into three groups for analysis according to maternal age; \u226419, 20\u201334 and 35\u2265 years, with women aged 20\u201334 being considered as the reference group. Statistical analysis was undertaken using SPSS 24.In order to evaluate nutrition in this population a series of statistical analyses were conducted using responses to the FFQ and applying principal component analysis (PCA) to identify distinct patterns of food types consumed. The FFQ was completed at 26\u201328 weeks gestation and refers to food intake during the preceding 4 weeks. There were a total of 37 items included in the FFQ, details of which are given with the results of the PCA. Since the original objective of the FFQ was to characterise the intakes of key food items only, it was not appropriate to derive an estimate of total energy intake. Responses to the food frequency questionnaire were given on either an eight or five point scale, these responses were therefore transformed to give an estimation of frequency per day in order to standardise questions asked in different formats.Individual items on the FFQ were then grouped by type and total frequency of consumption of different food groups estimated. The grouped nutritional variables were then used as the basis for a PCA in order to examine the dietary patterns which exist within the data set. PCA was selected as it allows for a larger number of variables to be reduced and underlying factors exposed.Differences between maternal age groups in both the demographic and nutrition related variables were explored using Chi-Square for categorical data and one-way ANOVA for continuous data; categorical variables are presented as percentages and continuous variables as means and 95% confidence intervals. Logistic regression analyses were used to compare the rate of each of the categorical nutrition related variables by age group and differences between groups estimated using odds ratios. Multivariate logistic regression models were then used to adjust these comparisons for confounding variables.Crude and adjusted odds ratios (OR and aOR) are therefore presented with 95% confidence intervals. Index of multiple deprivation (IMD) score and maternal ethnicity were included as covariates in the adjusted analysis, due to the association of these variables with dietary pattern identified in the literature\u201312. WherIn the multivariate regression models for this study there is no clear logical or theoretical basis for assuming any variable to be prior to any other, either in terms of its relevance to the research goal of explaining phenomena, or in terms of a hypothetical causal structure of the data. For this reason a simultaneous method of including independent variables in the multivariate regression models was considered to be most appropriate, as opposed to a stepwise method.Due to the assumptions required to produce statistical models not being met for the dietary pattern scores it was not possible to adjust the analysis of these variables for potentially confounding variables.Data were available for 5,083 pregnancies for this analysis; demographic characteristics of the participants included in the study are shown in Analysis of the nutrition related variables showed tAdjustment for ethnicity and IMD score in the regression analysis produced similar results as shown in Several combinations of food groupings were explored to see which gave the most sensitive output in the PCA. These included loading all of the food items in separately, separating whole grains from other grains and starches, analysing all proteins as one group and separating proteins by type . The groupings outlined in When the analysis was completed without stipulating the number of factors to be retained two factors were retained which explained 43.8% of the total variance. On closer examination of the output, including examination of the inflection point of the scree plot, it was considered that a third and fourth factor with Eigen values of 0.971 and 0.939 respectively should be considered for inclusion. The analysis was therefore run with both 3 and 4 factors stipulated and the results compared with the initial analysis. The inclusion of a third factor presented a distinct dietary pattern which added to the logical understanding and interpretation of the data. The inclusion of a fourth factor did not however add to the understanding of the data. The decision was therefore made to retain 3 factors from the analysis, the inclusion of these 3 factors would then account for 55.9% of the total variance. Details of the retained factors and factor loadings are given in The analysis showed that there was an association between both the snacks and processed foods pattern and the grains and starches pattern and maternal age group . The meaThe results show an association between two of the dietary patterns in this analysis and maternal age. Strongest associations were seen in the snack and processed foods pattern where women aged \u226419 were found to have the highest mean PCA score reflecting a higher intake of foods that are typically viewed as snack items and moderate intake of processed meat. Adolescent women also reported consuming higher levels of sugar sweetened cola compared to older women; no differences were observed in levels of consumption of artificially sweetened cola.There were no differences by age group in women's awareness of recommendations to eat five portions of fruit and vegetables per day; however adolescent women were less likely to say they achieve this recommendation. Adolescent women in the sample also reported the lowest use of nutritional supplements.Adolescent women had a higher prevalence of underweight (BMI <18.5) and older women a higher prevalence of overweight or obesity (BMI >25).These results are largely consistent with findings from the latest wave of the National Diet and Nutrition Survey (NDNS). ResultsThe findings of these studies are consistent with those of the present study however neither specifically addressed adolescent women or older women as distinct groups. As discussed in the introduction, the nutritional needs of adolescent women in particular may differ from those of older women due to the continued growth of the mother meaning that understanding the nutritional intake of young women during pregnancy is important. This study helps us to start to understand the dietary patterns associated with this group, however further work based on more robust dietary surveys is needed in order to improve understanding of this complex topic. A particular strength of this work is that it utilises well-established, ethnically diverse, UK based cohort data in a way which is unique to this study. This cohort includes a large number of participants meaning that analysis by maternal age including an adolescent group is both possible and robust.There were limitations in the dietary data available for this study. The number of items included in the FFQ was limited meaning that there is potential for the dietary patterns identified to be lacking in detail, or that additional patterns which might be present in the population could have been missed. This issue also resulted in the distribution of dietary pattern scores being significantly skewed, meaning that it was not possible to use statistical modelling to predict the extent to which maternal age influences dietary pattern, only that there appears to be an association. There was also no definition of portion size in the collection of data meaning there is likely to be significant variation between participants self-defined portion sizes. The FFQ was completed at 26\u201328 weeks of pregnancy and related to the preceding 4 weeks, meaning that the dietary patterns identified are only reliably relevant to the second trimester of pregnancy. Women's diet may change over the course of pregnancy meaning This study assesses dietary patterns ascertained by principal component analysis. Dietary patterns have been defined as \"foods that are actually consumed in various characteristic combinations\". The stuThe results suggest that there may be some cause for concern regarding the quality of adolescent pregnant women's diet, despite reporting similar levels of knowledge of recommendations to older women. This suggests that factors other than knowledge may be important in developing behaviour change interventions. There are a number of different theoretical models discussing the process of translating knowledge into action in public health. For example the health belief model is basedThe adolescent women in the sample also reported less use of nutritional supplements compared to the reference group. This suggests that any gaps in the nutritional profile of young women during pregnancy as a result of a sub-optimal diet may not be being filled by supplementary vitamins and minerals and may therefore leave women in this group with nutrient deficiencies.Consumption of sugar and artificially sweetened cola in this cohort has previously been examined with resEnergy intake was not available for analysis in this dataset meaning that maternal BMI at booking appointment is a useful indicator. Individual differences in total energy intake are largely determined by a combination of body size, physical activity and metabolic efficiency. Measurements of energy intake and physical activity in epidemiology are often crude and suffer from under or over reporting, and metabolic efficiency is essentially impossible to measure in this setting. For these reasons height and weight measurements are often considered a suitable alternative to measures of energy intake. The resThe results of this study are consistent with previous work assessing maternal obesity in the UK. This woThere may be some cause for concern with regard to diet quality in adolescent women and obesity among older women during pregnancy. Further work using more comprehensive methods of dietary data collection would be advantageous in assessing the nature of these relationships.The impact of dietary pattern on birth outcomes is also an important area for further work, particularly in light of evidence presented previously that there is a higher risk of extremely low birthweight babies and extremely pre-term delivery among adolescent women in this cohort.Interventions targeted to specific age groups to facilitate behaviour change may be useful due to differences identified in the types of nutritional issues affecting pregnant women at different ages. There is a need to further understand the barriers to healthy eating during pregnancy in order to develop successful interventions."}
+{"text": "Several studies have investigated longitudinal changes in health status and functional ability but few have examined whether inequalities in healthy ageing varied across different countries. The aim of this study is to investigate trajectories of health metric scores (generated in previous symposium abstract) over the ageing process and examine the impact of education and wealth on the trajectories across eight cohorts in the ATHLOS consortium using multilevel regression modelling. After adjusting for age, gender and study, higher levels of education and wealth were associated with higher baseline scores but had minimal impacts on decline rates. These effect sizes varied across different cohort studies and the inequality gradient was found to be strongest in the Health Retirement Study from US. Future research may investigate potential mechanisms which might explain the differential impact of education and wealth in different societies."}
+{"text": "According to the \u201cuse it or lose it\u201d hypothesis of cognitive aging, cognitive enrichment and cognitively engaging activities are associated with the maintenance of high levels of cognitive functioning in old age. Similar ideas have been brought forward with respect to characteristics of individuals\u2019 work environment, with more cognitively enriching work demands providing an optimal environment for cognitive development and maintenance. The goal of this research group is to showcase new developments in research on work, retirement and cognitive aging. H\u00fcl\u00fcr et al. examine the role of perceived work environment for cohort differences in trajectories of cognitive change based on 56-year longitudinal data from the Seattle Longitudinal Study. Andel et al. use data from the Swedish Adoption/Twin Study of Aging to examine trajectories of cognitive aging before vs. after retirement with two-slope growth curve models. Zulka et al. conduct a systematic literature review on the association between retirement and cognition and examine the role of factors such as occupational experiences and the cognitive domain studied. Burzynska et al. investigate the relationship between stressful and stimulating occupational exposures and structural brain health and cognition in older age. The discussion by George Rebok will focus on how these findings contribute to our understanding of the role of occupational experiences for cognitive and brain aging and how they can be utilized to promote maintenance of cognitive functioning in old age."}
+{"text": "Osteoporosis is largely undetected and untreated in older men who are at-risk, with even lower rates of detection and treatment in rural communities. In this presentation we report the consequences for primary care providers (PCPs) of the implementation of an osteoporosis telemedicine clinic that targeted rural patients and is purposefully designed to minimize PCP workload. Analysis of qualitative interviews with PCPs who co-managed patients with the telemedicine clinic confirmed that implementation strategies used by the telemedicine clinic were successful at minimizing workload and had a positive impact on PCPs\u2019 work. However, the clinic\u2019s seamless approach may have contributed to unintended consequences of low PCP awareness of program care processes and selection criteria and a missed opportunity for PCPs to reinforce osteoporosis care goals in the primary care setting."}
+{"text": "The creation and maintenance of sustainable data archives can be challenging but it offers clear advantage. Properly curated data can be used by multiple researchers, testing a variety of hypotheses and increasing the return on investment to the expensive process of data collection. Having an internally managed archival system also provides greater control and autonomy in the equitable distribution of data resources, insuring all researchers have full use of the data for original research, teaching and new directions once the data leaves the control of the local investigator\u2019s control. This poster reviews the advantages of having a local strategy geared toward the preservation and sharing of gerontological research data. Using the National Archive of Computerized Data on Aging (NACDA) as a working example, the poster offers an overview of collections at NACDA. Using our metadata tools and variable search database, NACDA can identify studies in its collections that examine aspects of aging and health among adults during their lifecourse. Many of the studies are longitudinal or repeat measure cross-sectional studies. We are also able to identify studies which focus on aging that are not maintained by NACDA but which are available to interested researchers. Using a strategy of archival preservation combined with a strong focus on productive research and outreach, NACDA has amassed data and metadata covering a wide array of studies worldwide that address the aging lifecourse. Because our collections are multinational, we share these data at no cost to interested users worldwide"}
+{"text": "In the original article, there was an error. The statement of the written informed consent procedures was incorrect because of inappropriate wording.Materials and Methods, subsection Subjects, paragraph two:A correction has been made to the \u201cThis study was approved by the Ethical Committee of Tianjin Medical University General Hospital and written informed consent was obtained from all subjects or their guardians.\u201dThe authors apologize for this error and state that this does not change the scientific conclusions of the article in any way. The original article has been updated."}
+{"text": "Concerns have been raised that the transplants performed in the local context at the time of procedures reported in this article may haveDetails as to the donor sources and methods of obtaining informed consent from donors were not reported in , and wheThe authors state that no vulnerable populations were involved in their research and all organs were obtained with informed consent but did not provide ethics approval documentation to support their claim or clarify whether organs had been procured from prisoners.The authors did not respond to inquiries about the availability of underlying data supporting this study.PLOS ONE Editors retract this article.Owing to the lack of documentation to demonstrate this study had prospective ethical approval, insufficient reporting, unresolved concerns around the source of transplanted organs and whether they included organs from prisoners, and in compliance with international ethical standards for organ/tissue donation and transplantation, the The corresponding author notified the journal that all authors disagree with the retraction. The other authors either could not be reached or did not respond directly."}
+{"text": "There has been a long tradition of wayfinding and orienteering studies in humans but these have mostly neglected possible age-related differences in navigation. This field of inquiry is experiencing something of a resurgence of interest due to the development of VR technology which has brought the systematic study of large scale navigation into the laboratory and into the MRI scanning environment. Empirical studies to date identify navigation as an aspect of cognition that is vulnerable to the aging process. Functional and structural neuroimaging studies in humans suggest that age-related changes in the brain\u2019s \u201cnavigation circuit\u201d may underlie these behavioral age differences. Older adults also adopt unique spatial strategies and knowledge of these strategy preferences could enlighten both basic science research in spatial cognition and also inform the development of age-specific technological assistance that may extend functional independence of older adults into later life."}
+{"text": "This study investigated whether perceived neighborhood quality was associated with chronic loneliness for adults 60 and older in the United States. Although loneliness can be episodic and overcome, chronic loneliness has been identified as a social determinant of health. Utilizing ecological systems theory we hypothesized that higher levels of neighborhood social cohesiveness would be associated with lower odds of chronic loneliness. We postulated that the networks available to people in the proximal area where they live could provide social opportunities for reducing loneliness. This idea was consistent with prior findings indicating the salience of neighborhoods for retirees, but inconsistent with research indicating the importance of a confidant in reducing loneliness. Data from the 2008 and 2012 Health and Retirement Study Psychosocial Surveys were used (n = 3530). Loneliness was measured using the 3-item scale developed by Hughes and colleagues in 2004. Findings from unadjusted logistic regression indicated that loneliness was inversely related to neighborhood cohesion as measured by an index of the trustworthiness, friendliness and helpfulness of neighbors and cleanliness, occupancy, lack of graffiti, and sense of belonging in the area . When demographic and health-related factors were entered into the model the odds of being lonely were significantly lower for those with higher ratings of social cohesion . These findings were consistent with the idea that neighborhoods are an important social place for older persons and interventions at the neighborhood level may be more effective than individualized treatment plans."}
+{"text": "Systematic reviews of clinical trials aim to include all relevant studies conducted on a particular topic and to provide an unbiased summary of their results, producing the best evidence about the benefits and harms of medical treatments. Relevant studies, however, may not provide the results for all measured outcomes or may selectively report only some of the analyses undertaken, leading to unnecessary waste in the production and reporting of research, and potentially biasing the conclusions to systematic reviews. In this article, Kirkham and colleagues provide a methodological approach, with an example of how to identify missing outcome data and how to assess and adjust for outcome reporting bias in systematic reviews. Bias arises when trialists select outcome results for publication based on knowledge of the results. Hutton and Williamson first defined outcome reporting bias (sometimes termed selective reporting bias) in 2000: \u201cthe selection on the basis of the results of a subset of the original variables recorded for inclusion in a publication.\u201dof systematic reviews.Empirical research provides strong evidence that outcomes that are statistically significant have higher odds of being fully reported than non-significant outcomes (odds ratios ranging from 2.2 to 4.7).The aim of this article is to show, with an example, how systematic reviewers can minimise the amount of missing data in reviews of healthcare interventions, and use ORBIT methods to detect and classify the suspicion of outcome reporting bias in benefits and harms reported in included studies. The paper also provides details of a statistical approach to assess the robustness of meta-analysis conclusions on this potential source of bias that non-methodologists can implement on a web based platform.Outcome reporting bias occurs when trialists select for publication a subset of the original recorded outcomes based on knowledge of the results. Outcome reporting bias is a threat to evidence based medicine and contributes to waste in researchEmpirical evidence suggests that statistically significant outcomes have higher odds of being fully reported than non-significant outcomes (odds ratios ranging from 2.2 to 4.7)The ORBIT research programme offers tools for systematic reviewers to identify missing outcome data, and assess and adjust for outcome reporting bias. A tutorial is provided to show how these tools could be used in a systematic reviewOne way to streamline the process of systematic reviews and to help reduce outcome reporting bias is for reviewers to use outcomes considered as core for all trials in a particular topic area.We recommend that systematic reviewers consider core outcome sets when registering their topics with Cochrane review groups or PROSPERO . Systematic reviewers can identify if relevant core outcome sets exist for their review area by searching the publically accessible COMET database.Reviewers should not exclude studies from their review on the basis of whether the outcomes of interest were reported, because non-reporting does not necessarily mean that the outcomes were not measured.We strongly encourage systematic reviewers to include relevant studies in their review irrespective of whether the studies reported any of the review outcomes of interest, and to assess those studies in accordance with the methods described below.An outcome matrix was proposed to help identify missing study outcome data.For trials that do not or partially report on outcomes, the matrix allows reviewers to assess the risk of outcome reporting bias according to the ORBIT classification system (see next section below). In the epilepsy example in We strongly encourage systematic reviewers to include an outcome matrix in their reviews. The ORBIT matrix generator, available on the ORBIT website,Sources for obtaining unpublished information on clinical trials for use in systematic reviews have previously been described.When no usable missing outcome data can be obtained from the sources given above, the ORBIT researchers developed classification systems to help systematic reviewers detect outcome reporting bias in reviews. The method relies only on information in the published trial report , expert clinical judgment, and an assessment of the outcomes that researchers usually report across a set of trials in a review.For the epilepsy review, the classifications given for each outcome with missing or partially reported data are presented in the outcome matrix , with a To assess the risk of bias due to selective reporting, we recommend that the ORBIT classification system is used by systematic reviewers as a framework to determine whether there is a high or low risk of outcome reporting bias when review outcome data are missing or partially reported. We also recommend that the assessment is completed by at least two independent researchers and differences discussed to agree on an overall classification .Copas and colleagues developed new statistical sensitivity approaches for assessing the robustness of review meta-analysis conclusions when outcome reporting bias is suspected.We return to our epilepsy example given earlier, for which the outcome matrix of the ORBIT classification is shown in After applying the Copas bias adjustments for partially reported or unreported outcomes , the revWhen outcome reporting bias is suspected, we recommend that the quality of evidence is lowered in relation to the standard GRADE assessment applied in reviews. We also recommend that sensitivity analyses are performed for important outcomes to assess the robustness of conclusions to outcome reporting bias.Empirical evidence suggests that outcome reporting bias is a threat to the validity of the evidence base and contributes to research waste. We have highlighted up-to-date approaches and recommendations for detecting this problem and adjusting the results when performing sensitivity analyses in systematic reviews. We anticipate continued application of these methods and methodological research into the assessment and adjustment of outcome reporting bias in the years to come. The ORBIT website is a useful resource, providing researchers with tools to detect outcome reporting bias and methods for sensitivity analysis; it is also a repository for important publications in this field."}
+{"text": "Aging is the product of numerous dynamic processes that span multiple domains of functioning , multiple levels of analysis, and multiple time-scales. Scientific inquiry in many fields has benefited from articulation and analysis of complex systems. This symposium brings together a collection of papers that illustrate how dynamical systems modeling is contributing to both theory and understanding of aging. Yang and colleagues apply Boolean network approach to intensive longitudinal data to identify sequences of emotion and behavior that lead to a stable equilibrium, and suggest how that information can be used to design interventions that push individuals toward a healthier equilibrium. Rector and colleagues illustrate use of dynamic indicators and multiscale entropy measures as indicators of resilience and explain how those measures may be used in prediction of physical recovery. Brick highlights how sequence mining methods can be used to identify commonalities and differences in dynamic change, and how those patterns characterize and distinguish groups with respect to aging trajectories. Moulder and colleagues demonstrate how latent maximum Lyapunov exponents can be used to study sensitivity of individuals\u2019 developmental trajectories to initial conditions. Boker and colleagues provide a general overview of how dynamic models, including an adaptive equilibrium regulation model, distinguish resilience to acute versus chronic stressors and patterns of regulation. Together these papers highlight the value complex system thinking can add to our understanding and optimization of aging."}
+{"text": "Following publication of this work , questioThe Ethics Committee at Ghent University have clarified that authors received specific approval for this study. The published ethics statement was incomplete, however, and is hereby corrected to the following:Patients consulting at the department of orthopaedics and traumatology are asked to sign a generic informed consent giving permission to use their medical data for retrospective research purposes of patients who needed meniscal surgery in the past. All data were generated from the patient files and put anonymously in a dataset (used for this manuscript). Only the data from the patients with meniscal allograft transplant surgery were collected out of the general database (B670201317873) and added to the dataset (used for this manuscript)."}
+{"text": "The successful results of the program have led domestic and foreign governments to consider the application of cap and trade to address other air quality issues. Certain analyses are particularly important in determining whether or not cap and trade is an appropriate policy tool. This paper offers a set of questions that can be used as criteria for determining whether or not cap and trade is the preferred policy approach to an environmental problem.The use of emissions trading (cap and trade) is gaining worldwide recognition as an extremely effective policy tool. The U.S. Sulfur Dioxide (SO"}
+{"text": "The data presented in this research show the results of the experimental study of acoustic behaviour of coconut fibre-reinforced concrete (CFRC). The CFRC was added in percentages of 0.25%, 0.5%, 0.75% and 1% of cement. The acoustic test was conducted to determine the amount of sound that can be absorbed by the fibre. The data showed that the concrete reinforced with coconut fibre had the highest sound absorptive power, of which fibre treated absorbed more sound than other fibres, this is because washing of fibre increase the lignin content which is responsible for the sound absorbing property. The data also showed that the curing time had no effect on the absorbing property of the CFRC. The data presented will be useful in the construction of sound proof reinforced concrete slabs, walls and other elements. Specifications tableValue of the data\u2022These data will be useful to researchers working on incorporating coconut fibre on concrete.\u2022The data presented show that incorporating fibre in concrete improved the slump because the fibre absorbed some of the water during mixing.\u2022The data are valuable because they show that coconut fibre absorbed some amount of sound. Also, distance of propagation should be considered in further studies.\u2022The data obtained in this study solve the issue of noise affecting the occupants of buildings located in urban and rural areas.\u2022The data presented in this study provide an affordable and functional replacement for sound proof materials as opposed to importing of sound absorbing materials.1Composite material is defined as a unique combination of the fibre and the concrete matrix where function of the fibre is to withstand load and make the composite stiffer meanwhile matrix is a binder which holds the fibre in place 2Portland cement of the Dangote brand in conformity with"}
+{"text": "Trust and reciprocity are cornerstones of human nature, both at the levels of close interpersonal relationships and economic/societal structures. Being able to both place trust in others and decide whether to reciprocate trust placed in us is rooted in implicit and explicit processes that guide expectations of others, help reduce social uncertainty, and build relationships. This review will highlight neurobehavioral mechanisms supporting trust and reciprocity, through the lens of implicit and explicit social appraisal and learning processes. Significant consideration will be given to the neural underpinnings of these implicit and explicit processes, and special focus will center on the underlying neurocomputational mechanisms facilitating the integration of implicit and explicit signals supporting trust and reciprocity. Finally, this review will conclude with a discussion of how we can leverage findings regarding the neurobehavioral mechanisms supporting trust and reciprocity to better inform our understanding of mental health disorders characterized by social dysfunction. Racial bias can be particularly pervasive: an individual\u2019s implicit bias relative to the bottom line outcome \u2014may be particularly diagnostic when deciding whether to trust a partner differential weighting of reciprocity (or defection) as a function of the strength and valence of an initial impression of a partner; and (2) for initial impressions and experienced outcomes to influence each other in order to learn about a partner. In other words, whether a partner reciprocates or violates trust informs the updating of an impression, which then feeds forward to differentially weight subsequent instances of reciprocity/violation of trust in ways that are consistent with prior impressions of others as \u201cgood\u201d or \u201cbad\u201d: reciprocity from someone initially perceived as trustworthy contributes more heavily to subsequent choices to a violation of trust from that same partner, and vice versa based on whether we have priors about their tendency to cooperate , which may be quantified as the trade-off in value between outcomes for the self vs. outcomes for others the monetary amount that a trustee thinks that an investor would expect them to send back ; and (2) the amount that the trustee actually sends back. This difference is weighted by a guilt aversion parameter which indexes sensitivity to feeling guilt , which may underlie the propensity for re-victimization in this population involved in trust and reciprocity, our understanding of neural and behavioral mechanisms of trust and reciprocity will be bolstered by integration with advanced neuroimaging approaches. Recent efforts linking individual differences in computational strategies supporting reciprocity with differential patterns of brain activity assessed by inter-subject representational similarity analysis (van Baar et al., DF wrote the manuscript.The author declares that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "The goal of this study was to leverage data from two environmental regulatory initiatives, Ontario\u2019s Toxics Reduction Act (TRA) and Canada\u2019s National Pollutant Release Inventory (NPRI), to assess their ability to monitor trends in the use and emission of carcinogens by industry sector in Ontario.Data reported to the TRA and NPRI by industrial facilities in Ontario were retrieved from 2011 to 2015. Twenty-six known and suspected carcinogens were identified (IARC) and the trends in the use and emission were evaluated by industry sector. The locations of industrial facilities that used and released carcinogens were mapped by Public Health Unit (PHU).Chemical manufacturing and primary metal manufacturing sectors accounted for 84% of all reported industrial use of carcinogens during the period 2011\u20132015. The largest source of carcinogen emissions came from facilities in the primary metal manufacturing and paper manufacturing sectors. The largest number of industrial facilities that reported the use and release of carcinogens were located in the City of Toronto and Peel Region PHUs. Overall, the use of carcinogens across all sectors appeared to decrease by 8%, while emissions increased by about 2%.The results of this study show the need to reduce the use and emission of select carcinogens in priority industry sectors. Environmental reporting programs, such as the TRA and NPRI, can serve as important tools in cancer prevention by tracking potential carcinogen exposures in the environment and in the workplace. About one out of every two Canadians will be diagnosed with cancer in their lifetime , particulate matter less than 10\u00a0\u03bcm (PM10), and total particulate matter, only releases of PM10 were selected for analysis in this study as they were reported more frequently. IARC has classified all particulate matter as a known human carcinogen Industrial facilities in Ontario that report their releases to the NPRI must report their use of toxic substances to the MOECC\u2019s TRA program from a list of substances prescribed by the program. Of the 322 substances prescribed under the TRA, those classified as known human carcinogens (group 1) and probable human carcinogens (group 2A) by the International Agency for Research on Cancer (IARC) were selected for analysis in this study , in order to geographically analyze the data for industrial facilities in both datasets. There are 36 PHUs in all of Ontario by its intercept and multiplying by 100%. The same method was used to calculate trends for releases. All data analyses were performed using the statistical software SAS 9.4 .The total estimated use and release of carcinogens by industrial sector summed for all years from 2011 to 2015, the mean number of employees for each sector and the top three known and suspected carcinogens by amount used and released are shown in Table Facilities in the chemical manufacturing sector ranked first among all sectors for reported carcinogen use, using more than 10 million t in the 5-year period analyzed and the transportation equipment manufacturing sector located in the City of Toronto PHU, followed by Peel Region PHU (n\u2009=\u200951) and Sudbury and District Health Unit (n\u2009=\u20092650\u00a0t), respectively (data not shown). The chemical manufacturing and petroleum and coal product manufacturing sectors are prominent industries in Lambton Health Unit and were likely responsible for the carcinogen use observed in that PHU. In Sudbury, nickel mining remains an important industry contributing to the large quantity of carcinogenic emissions.Of the 326 industrial facilities reporting the use of carcinogens in 2015, the City of Toronto PHU and Peel Region PHU contained the largest number of industrial facilities that reported the use of carcinogens, with each containing 34 facilities . A more detailed analysis of use and emission trends by carcinogen were previously discussed (Slavik et al. In addition to analyzing carcinogen use and emission by industry sector, this study examined the distribution of industrial facilities by PHU to explore potential geographic patterns in industrial sites. The largest number of industrial facilities reporting the use and release of carcinogens were observed in the city of Toronto, Ontario\u2019s most populous city. This finding is consistent with previous research that identified significant sources of industrial pollution in Toronto, where neighbourhoods with higher emissions of toxic contaminants were also characterized by populations who were racialized or socio-economically disadvantaged (Kershaw et al. Lung carcinogens are among the most used in industrial facilities in Ontario (Slavik et al. One limitation of this study is that the amount of toxic substances used and emitted by facilities is self-reported in both the NPRI and the TRA, though some consistency between volumes of self-reported pollutant releases by industrial facilities and pollution monitoring data have previously been found (De Marchi and Hamilton In addition, there are limitations in the reporting requirements of the TRA program for toxic substance use. The program allows for the reporting of use quantities by industrial facilities as ranges as opposed to absolute quantities, which limits the analysis to estimates. Another limitation of most environmental reporting programs is the fact that only larger industrial facilities meeting specific use and release thresholds are required to report (Dolinoy and Miranda There are also limitations in applying carcinogen use and release as indicators of potential exposure since numerous other factors impact a worker\u2019s exposure to chemicals. These other factors, including exposure controls such as safe work practices and personal protective equipment, were not examined in this study. It should also be noted that high sector emissions do not necessarily equate to high cancer risk since contaminants are dispersed and are often transported across large distances in the environment (Li and Ma Databases like the TRA and NPRI can be used for surveillance to provide estimates of industrial carcinogen use and release when detailed exposure assessments and routine environmental monitoring are not feasible. A major strength of the approach used in this study is the combination of descriptive and quantitative approaches to assess industrial trends in the province by both characterizing potential exposures in sectors of concern and quantifying changes in carcinogen use and release. The methods are also highly transferable to other jurisdictions where similar environmental reporting databases exist and concerns over toxics use and emission are present.There remain opportunities to reduce the use and release of carcinogens in many Ontario industries. The TRA program is still in its infancy and future analyses drawing from more datasets will be able to better indicate longer-term trends in carcinogen use and release. The findings from this study may inform future efforts to quantify levels of exposures in particular industry sectors or geographic regions where those industries are present. While this study does not attempt to draw conclusions on the risk of developing cancer in workers and populations residing near certain industries, it demonstrates the need to prioritize exposure prevention strategies in particular sectors where the most carcinogens are used and emitted."}
+{"text": "The published article containsPatients attending Kasr Al Ainy hospital sign a consent form at admission to agree to use of their clinical data for research. The authors were involved in patients' care and management during their clinical course, but data were de-identified when extracted from the clinical database for use in this study. The Cairo University Research Ethics Committee confirmed that this study was exempt from the requirement for approval. As per the University\u2019s regulations, retrospective data analysis and other research that does not include interactions with or collection of identifying personal data from living human subjects, is exempt from Research Ethics Committee continuous review."}
+{"text": "AARP will introduce research on rural residents from the 2018 Home and Community Preferences Survey of Adults Age 18 and Older that shows the importance of making communities places where rural residents can successfully age throughout all stages of life. This data will provide useful insights regarding what adults who live in rural areas want and need in their communities to positively contribute to their overall health and well-being and keep them actively engaged and involved in their community. The survey data can serve as a key tool for communities to understand what rural residents view as important for successfully aging in place and strategies that communities might employ to create community supports and services conducive for older rural residents."}
+{"text": "Home- and Community-Based Services (HCBS) are increasingly important for older adults who want to maintain their independence and remain in their communities. Although HCBS systems have been developed widely in many western countries and in some countries in Asia, China is just beginning to grapple with its rapidly aging population by offering HCBS in a limited fashion. The purpose of this study was to investigate the relationship between structural and cognitive social capital and HCBS utilization among older Chinese adults. The study also examined the mediating effect of structural social capital for the the relationship between cognitive social capital and HCBS utilization. We frame the study within the Andersen behavioral model of health services utilization and argue that within this framework social capital is an enabling factor. We analyzed survey data from 456 community-dwelling older adults living in the Gusu district of the city of Suzhou, China in 2015. Structural equation modeling was used to test the hypothesized relationships. The results showed that both cognitive and structural social capital were significantly associated with HCBS utilization. Structural social capital also served as a mediator between cognitive social capital and HCBS utilization, even after controlling for sociodemographic characteristics and other relevant covariates. The findings supported the utility of employing Andersen\u2019s behavioral model and social capital theory for better understanding older Chinese adults\u2019 utilization of HCBS. Interventions for increasing social capital may be useful for improving HCBS utilization in Chinese urban communities."}
+{"text": "Diagnostic imaging pathways are developed to ensure that medical imaging examinations are appropriately selected and referred by clinicians with the aim of justifying the use of imaging modalities for clinical diagnosis. Failing to comply with the imaging pathways or guidelines results in exposing patients to unnecessary ionising radiation due to malpractice of imaging referrals. This editorial provides a comment on a recent study reporting very high percentage of general x\u2010ray imaging referrals which did not or partially met the imaging pathways in an emergency department. Advances in medical imaging technologies over the past number of decades have resulted in an increase in the sensitivity and specificity of imaging examinations, thereby improving diagnostic accuracy and the opportunity to deliver more accurate and personalised care. Parallel to these improvements, defensive medicineIn Australia, the Western Australia (WA) Government has developed the Diagnostic Imaging Pathways, which provide evidence\u2010based medicine to guide health professionals in the judicious use of imaging modalities for diagnosis of various pathologies. This presents the most appropriate diagnostic examinations in a desirable sequence for a wide range of clinical scenarios.Journal of Medical Radiation Sciences, Rawle and PighillsP\u00a0<\u00a00.001).In the current issue of the Similarly, a review of 140 medical records which did not meet the pathway or were unclear , a high percentage of medical records (65.5%) did not meet the imaging pathway criteria. Further analysis of the data was performed by combining these imaging referrals with medical records, and their results showed improvement with unjustified examinations reduced to 49%. Results of this study indicate that an excessive high percentage of clinically unjustified x\u2010ray imaging examinations were performed in the emergency department. They concluded that referring clinicians were not providing adequate relevant information and that the radiographers were not complying with justification requirements.There are several aspects from Rawle and Pighills\u2019 studyThe WA pathways are intended to help medical practice by improving the efficiency of health service delivery and promoting fair and cost\u2010effective care; however, its use as a reference brings some limitations. As individual patient circumstances vary, each pathway is neither a rigid set of rules nor a substitute for clinical assessment. It is also acknowledged that diagnostic practice may vary from one healthcare provider to another. Other variables include local availability of equipment and available expertise as previously stated. The 173 individual scenarios available cannot cover all possible patient presentations and for that reason, a divergence from the proposed pathway may be acceptable in certain circumstances.Another important issue to consider is the lack of research to identify the reasons behind whether it is due to the quality or absence of provided training or is a result of the availability of equipment and expertise in the fields that were explored or the communication between all individuals involved. The information provided to patients and the consent obtained from them to perform an examination may also influence the ultimate approach to diagnosing the patient's condition.In summary, one strategy that can be considered to reduce the number of unjustified examinations being performed is to develop criteria that are adapted to each context to guide the respective clinical community and to simultaneously introduce high quality education and training sessions across healthcare departments. The aim of these sessions would be to improve knowledge of radiation exposure in medical imaging, associated risks and appropriate examinations available for main pathological conditions based on clinical audits."}
+{"text": "This opinion article highlights the importance of targeting critical brain regions during reconsolidation to gain insight into the brain mechanisms of memory dynamics and modulating existing memories.Accumulating evidence has shown that reactivated existing memories become sensitive to modification during reconsolidation have a role in modulating plasticity (Nitsche et al., Since NIBS techniques are promising interventions for treating declarative memory impairments that are often the first symptoms of dementia, the combination of NIBS with pharmacological interventions could prove to be an important symptomatic therapy for subjects with MCI due to AD (Albert et al., Finally, future research should address the issue of inter-individual variability in the effects of NIBS during reconsolidation. In particular, the possibility that variations in the presence of specific genetic polymorphisms (e.g., brain-derived neurotrophic factor gene; Chaieb et al., In conclusion, a better understanding of these basic and clinical issues will be instrumental to the development of NIBS clinical interventions for improving memory and symptoms through reconsolidation.All authors listed have made a substantial, direct and intellectual contribution to the work, and approved it for publication.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "The re-emergence of Zika virus in Brazil and other contiguous countries is a source of anxiety for pregnant women on account of its association with microcephaly. Adverse pregnancy outcome has huge mental health implications. It is essential for health providers to incorporate psychosocial care as part of pre and postnatal care for women in all countries affected by the Zika virus infection. The resurgence of Zika virus in Brazil and the dire medical implications for the populace and pregnant women, in particular, led to its declaration as a public health emergency in November 2015 . SusceptThe WHO and the Brazilian health authorities must be commended for recognizing and declaring the Zika virus outbreak a public health emergency and forming a multidisciplinary committee but so much needs to be done and lessons drawn from the recent Ebola outbreak. Ultimately, all-inclusive health systems approach that combines flexibility with effectiveness is needed to achieve the health objectives. A three-pronged approach is recommended:Strengthening of the health facilities in Brazil and other neighboring countries on emergency preparedness and proactive handling of the Zika virus through adequate testing, surveillance and case management: There should be an aggressive contact tracing and provision of requisite equipment for laboratory testing and diagnosis of all suspected cases of Zika Virus. Psychosocial support is very essential and the long term effects of anxiety and trauma (post-traumatic stress disorder (PTSD) must be expected in the women that lost their pregnancy or babies during the outbreak. Psychotherapy for pregnant women and families affected is essential. Clinical psychologist and psychiatrist should be included in the high-level team set up by affected countries to address the health challenges. The WHO guideline on the provision of psychosocial support for women and families affected by Zika virus [ka virus should bCommunity engagement and participation by all stakeholders: Productive dialogue and information channels must be created to serve as a two-way information link between the communities, women the health authorities. Community engagement would foster understanding and dispel the atmosphere of misinformation and fear that subsist in similar epidemics [pidemics . AggressAdequate prevention and Vaccine development of a vaccine is essential: The proactive prevention guidelines set up by the Public Health England (PHE) and the Royal College of Obstetrics and Gynaecology is recommended for health care providers everywhere [erywhere . Zika vierywhere -11. Timeerywhere .Zika virus is major public health issue with implications for women of reproductive age. From the health systems perspective, it is important to adequately allocate resources, build capacity, and develop appropriate clinical protocols for the healthcare workforce for diagnosis and treatment. Emergency response preparedness in virus outbreaks is glaringly sub-optimal and the mental health needs of affected individuals must be made a priority."}
+{"text": "Despite a global consensus that nurses and midwives constitute the majority and are a backbone of any country\u2019s health workforce system, productive capacity of training institutions remains low and still needs more guidance. This study aimed at developing a middle-range model to guide efforts in nursing education improvements.To explore challenges facing nursing education in Malawi and to describe efforts that are being put in place to improve nursing education and the process of development of a model to improve nursing education in Malawi.The study used a qualitative descriptive design. A panel discussion with eight nursing education and practice experts was conducted guided by core concepts derived from an analysis of research report from a national nursing education conference. Two focus group discussions during two quarterly review meetings engaged nurse educators, practitioners and clinical preceptors to fill gaps from data obtained from a panel discussion. A qualitative abductive analysis approach was used for the development of the model.Transforming and scaling up of nursing education emerged as the main concept of the model with nursing education context, academic practice partnership, regulation, competent graduate and nursing workforce as sub concepts. Key main strategies in the model included curriculum reforms, regulation, transformative learning, provision of infrastructure and resources and capacity building.The model can be used to prioritise nursing education intervention aimed at improving quality of nursing education in Malawi and other similar settings. Malawi is among countries with the most strained health systems in sub-Saharan Africa characterised by a heavy burden of disease , nurse educators (n = 12), nursing managers (n = 8) and nursing clinical preceptors (n = 8) from teaching hospitals who participated in two NEPI quarterly review meetings. Theoretical sampling shaped further data collection as the researcher pursued developing conceptual ideas and participants helped to clarify understanding for nurse educators to share best practices in enhancing nursing education in Malawi . During Data from the study were analysed based on grounded theory approach and the Malawi National Health Research Ethics Committee (NHSRC 1154). Permission was sought from NEPI project manager to conduct quarterly review sessions for data collection. Informed consent was obtained and participants voluntarily took part in the study. No data were linked to individual participants to ensure anonymity. Data were treated with confidentiality.Four core concepts emerged from an analysis of research reports that were presented at the national nursing education conference. These were nursing education context, academic\u2013practice collaboration, competent graduate and transformative strategies .These core concepts formed the basis for a panel discussion and subsequent focus group discussions with nurse educators, practitioners and clinical preceptors, which resulted in the emergence of five themes.Participants of both the panel discussion and focus group discussions highlighted the need to have curricula that respond to the healthcare users. Findings show that there is a mismatch between the type of nurses and the expectations of the service users. Some participants reported that:\u2018we still train a lot of nursing midwifery technicians than registered nurses and midwives. That\u2019s an issue of quality of nurses.\u2019 \u2018the country should target having registered nurses who are primary health care oriented because most users access health services at this level.\u2019 Participants noted that curricula should be formulated in accordance with the actual health needs of the users.Participants reported:\u2018Our country needs nurses and midwives who are deliberately trained for the rural areas. Nurses who will serve the neglected communities.\u2019 \u2018as a country we have not embraced interprofessional training of health workers yet. We need training programs that will foster inter-professional approach to healthcare problems and demands.\u2019 Findings have shown that nursing education contributes substantially to the reduction of the healthcare workforce shortage. Some extracts from panel discussion include:\u2018our nursing programs no longer produce nurses whom the healthcare delivery system could rely on to deal with the challenges among our communities.\u2019 \u2018\u2026 there are too few nurses to serve the increasing number of patients in the health centres and health posts in remote areas.\u2019 \u2018\u2026 the HSSP drives the agenda for all of us, be it education, practice or regulation.\u2019 Findings of the study show that there is a well-established system of regulation and accreditation of nursing education in Malawi. The nurses and midwives council ensures that all nursing programmes being offered in the country are approved and accredited. Participants urged therefore that the nurses and midwives council should therefore be well conversant with the nursing care needs of the service users. Participants highlighted the importance of strategic leadership with the regulatory body in order to increase the number of competent nurses and midwives.Participants highlighted that:\u2018nurses and midwives council prescribes curricula content for nursing programs. It should be well informed of the healthcare needs in order to provide relevant nursing curricula.\u2019 Participants also noted that the nurses and midwives council regulates licensure of nursing personnel.\u2018nurses and midwives write licensure examination before they can practice in this country. How come then we talk about poor quality of nurses when they have been evaluated whether fit or not to practice.\u2019 \u2018we need to rethink how we want to regulate licensure systems for our nurses and midwives.\u2019 Participants highlighted that national standards of nursing education are key to ensure quality health services.\u2018\u2026 various nurses and midwives council standards help to keep nurse education in Malawi in good order.\u2019 \u2018\u2026 a joint evaluation exercise should be done with the Nurses Council to assess if programs have been formulated according to the needs of the national health system.\u2019 Findings of the study indicate that there is a growing number of students being enrolled in the training institutions. All participants concurred that there is overcrowding of students in the clinical area and this challenges clinical teaching of students. Some participants indicated:\u2018teaching students in classroom and clinical practice is a challenge now with increased student intakes. We need to find better ways of teaching these students.\u2019 \u2018\u2026 individualized teaching is more important now than ever. You need to ensure that each student\u2019s learning needs are met if you are to ensure quality students.\u2019 Findings of the study show that need for more space, infrastructure and resources cannot be ignored owing to the increasing number of students. Infrastructure and resources to support transformative methods are needed at both educational and practice institutions. Participants noted that in the absence of adequate infrastructure, distance learning is becoming an option in many countries to avert challenges with space owing to increasing number of students. Participants highlighted that:\u2018\u2026 massive investment is needed to provide educational institutions with adequate infrastructure and resources in order to accommodate changing number of students and need for innovative way of teaching them.\u2019 \u2018\u2026 we have increased the nursing intakes to the extent that we cannot accommodate or trace them in the clinical sites.\u2019 Participants of the study reported that there are problems with capacity among nursing faculty in terms of clinical competences. Participants noted that over time, faculty members lose their practice competences. Findings show that there should be deliberate continuous professional development for nurse educators. Participants highlighted that improving educational capacity through nursing faculty development could be one of the several strategies to address a complex human resource problem. Participants reported that:\u2018There should be deliberate effort to equip educational institutions with capacity to handle growing number of students and more importantly changing health care landscape.\u2019 \u2018\u2026 mutual collaboration among academic and practice staff increases their chance to share expertise thereby building each other\u2019s capacity.\u2019 Chinn and Jacobs highlighThe model for improving quality, quantity and relevance of nursing education was created on assumptions derived from World Health Organization framework for transforming and scaling up health professionals\u2019 education and training (World Health Organization Transforming and up-scaling of nursing education should be responsive to the health needs of societies and ensure universal coverage.Teaching and learning process should prepare a graduate who is ready to address the health system\u2019s needs and demands.National, institutional and programme leadership commitment drives positive transformation when implemented using a collaborative and partnership approach.A nurse graduate who is competent, relevant to the needs of a society, builds a strong health system.The middle-range model presented in this article is aimed at guiding efforts to improve quality, quantity and relevance of nursing education in Malawi. This is a planning model and aims at providing guidance to planners to match strategies with situational determinants within the nursing education context. Planning models are developed to prevent the common practice of using one strategy to solve all problems. Although the model was developed in the Malawian context and within nursing education, it can be used in any country with similar nursing education context and in a variety of health professionals\u2019 education.Chinn and Kramer stated tTransformative and scale-up of nursing education refers to a sustainable expansion and reform to increase quantity, quality and relevance of health professionals (World Health Organization Curriculum reform is central to transform the quality and relevance of nursing education. The recent focus on competency-based curriculum calls for identification of critical nursing activities and general competencies (Ten Cate & Scheele Interprofessional education has been recognised worldwide as a key component in strengthening healthcare and overcoming practice challenges by teaching students the necessary skills to become part of the collaborative practice-ready health workforce (Thistlethwaite & Moran Regulation is one important strategic direction in the roadmap for scaling up health workforce. The function of regulation is to ensure that each individual has some level of understanding of accountability to his or her professional discipline. Regulation can be enforced at different levels. Institutions can be regulated through accreditation to ensure they meet expected standards to train nurses or for student practice in case of clinical institutions. Individuals are also regulated to ensure that they possess the relevant competences to be safe practitioners. Quality assurance in nursing is important for healthcare services users\u2019 safety. The regional professional regulatory framework for nursing and midwifery reported that efforts to improve nursing and midwifery tend to ignore regulation (World Health Organization With the growing number of students being recruited into nursing programmes, there should be innovations in methods of teaching and learning. In common instances, despite the growing number of students, the number of clinical practice sites have remained the same (Msiska, Smith & Fawcett Infrastructure and resources to support transformative methods are needed at both educational and practice institutions. In the absence of adequate infrastructure, distance learning is becoming an option in many countries to avert challenges with space owing to the increasing number of students Graber .Capacity building as a sub-concept spurs around three dimensions. Firstly, studies have reported that the productive capacity of training institutions in many sub-Saharan countries is low. Training institutions cannot recruit adequate number of students. Appiagyei et al. highlighMandatory continuous professional development is needed for faculty (Breakey et al. Nursing education context in this model refers to the present situation in the country serving as an antecedent for developing a model that will enhance nursing education in the country in terms of quantity, quality and relevance.Malawi like many other sub-Saharan African countries still reports poor health indicators. Several factors have been attributed to the situation including inadequate financing of the health systems (Lu et al. The structure of the model shows that the need for transformation should overlap within all levels of strategic implementation. Transformation needs to take place at national, institutional and programme levels guided by policy and frameworks that define national agenda for health. The national health needs are central and provide policy direction.Political agenda and strategic direction refer to governments\u2019 and nursing education stakeholders\u2019 plans with regard to nursing education improvement, expansion or reforms. Malawi is a United Nations member state and it abides by conversations and protocols set by United Nations through its agencies to improve the well-being of humanity. The political agenda and strategic direction is propagated down the system from national, institutional to programme levels. The National Health Sector Strategic Plan 2011\u20132016 highlighted the importance of transforming nursing education. The main goal of the Government of Malawi is to have the highest possible level of health and quality of life for all Malawians. Institutions and programmes have to set their agenda to be responsive to the national goal. Lu et al. noted thNational health policies, strategies and plans play an essential role in defining a country\u2019s vision, priorities, budgetary decisions and course of action for improving and maintaining the health of its people (Dahlgren & Whitehead Partnership refers to a deliberate arrangement between parties to cooperate to advance mutual interest. In this model, academic practice partnership is defined as a well-defined strategic relationship between educational and clinical practice settings in the area of practice, education and research. Student nurses generally rotate between blocks of theory and clinical practice. The model advocates for formal structured relationships towards achieving the country\u2019s health sector objective of health for all. The model is also built on the assumption that a health system consists of all organisations, people and actions whose primary interest is to promote health, in which collaboration is critical (World Health Organization The complexity of the healthcare environment demands collaboration between academia and practice setting in preparing an effective healthcare workforce (Frenk et al. Competency refers to the expected level of performance integrating knowledge, skills and attitudes. In the model, a competent graduate is one who demonstrates the ability to perform based on this expected level after training. Kajander-Unkuri et al. identifiThe nature of the curricula and amount of time students engage in putting theory into practice determine competence levels of students (Rahmati et al. The poor rural communities are most often neglected (De Kock & Pillay Nursing workforce in this model refers to a system of qualified and licensed nurses that form part of the healthcare workforce. Malawi has nurse midwife technician and registered nurse cadres. Enrolled nurses are trained to a minimum of college diploma while registered nurses are trained from the level of university diploma or higher.Healthcare workforce is a key building block of health systems Essack . It affeThe model was evaluated in accordance with the criteria proposed by Fawcett for modeThe study was conducted to guide implementation and evaluation of transformative and scale-up of nursing education in the local context of Malawi. Guidelines provided by key stakeholders like the World Health Organization remain relevant to the implementation of the model.For nursing education \u2013 The model has been developed to guide implementation and evaluation of strategies to improve the quality, quantity and relevance of nursing education.For research \u2013 More research is needed to explore the impact of specific strategies using the model through comparative studies between Malawi and other countries with a similar context.The design and assumptions of the model were discussed followed by a description of concepts and relationship among concepts. Nursing education transformation and scale-up should take place within a collaborative environment that fosters mutual strategic and operational planning within the framework of willing and committed leadership. Leadership cuts across approaches at national, institutional and programme levels among all nursing education stakeholders."}
+{"text": "Recently, Noorani suggesteNoorani opinion With these models in mind, some aspects of Noorani opinion TIMER-RIDER model has several advantages. It explains normal and pathological behaviors in paradigms in which movement cancellation is required or not . The modThe author confirms being the sole contributor of this work and has approved it for publication.The author declares that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Any density gradient for the isolation of nonmammalian organelles should ideally only expose the sedimenting biological particles to an increasing concentration of the gradient solute. Thus they will experience only an increasing density and viscosity, other parameters such as osmolality, pH, ionic strength and the concentration of important additives (such as EDTA and DTT) should remain as close to constant as possible. This Protocol Article describes the strategies for the dilution of OptiPrep\u2122 in order to prepare such solutions for organelles and membranes from nonmammalian sources such as yeast."}
+{"text": "Epilepsy in Sudan accounts for 1.6 annual mortality rates and 238.7 disability adjusted life years per 100 000. These figures are higher among females; children and young adults. It is associated with notable stigma and social burdens. Patients of epilepsy are subjected to various forms of social discrimination that affect their quality of life. They are isolated, neglected and deprived of their education and employments rights and not able to achieve normal social and family life. Aiming at highlighting social implications of epilepsy among Sudanese patients, this study found that social encumbrances due to epilepsy in Sudan are more prevalent among highly vulnerable groups like women, children and poor populations living in remote areas. Lack of trained medical personnel in neurology and the medical equipment's required for proper diagnosis and treatment of epilepsy in Sudan are key reasons aggravating social and health burden of epilepsy both among patients and their caregivers. Epilepsy is a chronic disease characterized by episodes of seizures that may vary from brief undetectable to long periods of vigorous shaking and could be accompanied by physical injuries like bone fractures . Eighty Epilepsy in Sudan is associated with notable stigma, social burden and generally affects the quality of life of patients . SubjectEpilepsy also affects the health services, inequality and the treatment gap. A simple definition of treatment gap in epilepsy is the number of people with a condition or disease who need treatment for it but do not get it. In the developing world, this gab is either arising from difficulty in accessing biomedical services or lack of adherence to anti-epileptic drugs . In SudaIn the other hand the marked impact in the education, employment and daily life activities is attributable to lack of education and awareness raising programs about epilepsy any of which Sudan lacks to help incorporate these patients into their social roles. In addition to health services centralization in metropolitan areas, depriving remote areas inhabitants from their goods. The findings of Women and children marked impediment by the diseases are consistent with similar results reporting lower parameters for quality of life in same social groups in Nigeria and Egypt . They reThe authors declare no competing interests."}
+{"text": "The VA Geriatric Scholars Program is a workforce development program to integrate geriatrics into primary care in all VA clinics. The program has increased career satisfaction among clinicians, improved quality of care for aging Veterans, changed provider prescribing behaviors and improved patient outcomes. The core curriculum is an intensive course in geriatrics, an intensive workshop in quality improvement (QI) and a micro QI project to demonstrate application of new knowledge to local needs of patients and clinic processes; this is a longitudinal program and alumni continue to develop skills over time through a series of elective activities that tailor learning to self-identified gaps in career development and training. The program is a collaboration among the Geriatric Research Education and Clinical Centers (GRECC), centers of excellence that have been leveraged to create a network of expertise and creativity to develop the core and elective educational activities. This symposium focuses on recent outcomes of three educational components that improve quality of care for older Veterans. The Palo Alto GRECC developed an intensive course in gerontological psychology to enhance the skills and competencies of psychologists leading to greater job effectiveness. The Bronx GRECC developed an interdisciplinary training program for all clinical and non-clinical staff in rural clinics, leading to improved recognition of functional and safety concerns among older veterans. The Tennessee Valley GRECC developed the core QI component and many of these micro-QI projects have been sustained, spread or recognized by VA as Promising Practices."}
+{"text": "Although more than 300 different techniques for hypospadias repair do exist, successful outcome depends mainly on the surgeon's skills, availability of adequate tissue for urethral reconstruction and choice of the best suitable technique in each case. Significant advancements in the management of hypospadias occurred over the last few decades but there remains great controversy on how to select the best technical options . The genWe acknowledge that such proposal lacks evidence support but it is an objective and consistent measurement that may be useful to surgeons deciding to graft or not the incised plate.TA has come up with the suggested UPR ratio. JP has validated the point and both wrote this manuscript.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "The updated American Heart Association (AHA)/American Stroke Association (ASA) Guidelines for the Early Management of Patients with Acute Ischemic Stroke were published in January 2018.Debate with regard to deciding the optimal diagnostic and treatment strategy for patients is healthy and anticipated with the release of new medical literature or recommendations. However, what is somewhat puzzling and unanticipated with the release of these new guidelines is that within two months of their release the AHA/ASA rescinded its recently released guidelines, publishing a \u201ccorrection\u201d in which several parts of the document have been deleted. The American Heart Association (AHA)/American Stroke Association (ASA) has released a correction to its \u201c2018 Guidelines for the Early Management of Patients with Acute Ischemic Stroke: A Guideline for Healthcare Professionals from the American Heart Association/American Stroke Association.\u201dAlthough the correction document reports continued support for the corrected version of the guidelines and its support for clinical decision-making, the rescinding of sections of the guidelines was done without the agreement of the Guideline Writing Committee.3Although with several new recommendations, there are a few new updates that bear particular relevance to emergency healthcare providers working in the prehospital and emergency department setting. One of the updates purported to have a significant impact on the initial evaluation and management of patients with suspected acute ischemic stroke is the window of time to perform endovascular thrombectomy, being increased to up to 24 hours in carefully selected patients. These recommendations are based on the results from the DAWN and DEFUSE 3 trials, which evaluated the effectiveness of endovascular therapy (thrombectomy) plus standard care vs. standard care alone in patients with large vessel occlusion acute ischemic stroke who had last been known to be well 6 to 24 hours (24 for DAWN and 16 hours for DEFUSE 3 studies) earlier with specific findings on advanced neuroimaging.5The extension of the window of thrombectomy for ischemic stroke patients up to 24 hours is particularly significant as this new extended window can increase the proportion of patients who may benefit from this intervention. Noting that the inclusion criteria is selective and only a subset of the acute ischemic stroke population will benefit, this extended therapeutic window for this intervention has tremendous implications for the prehospital care environment where systems are designed to transport patients to healthcare facilities that can optimize the likelihood of positive patient outcomes. Regionalization of diagnosis-specific care through specialty centers and transporting patients to those centers equipped with the human and capital resources to achieve optimal patient outcomes takes a tremendous amount of time, energy, effort, planning, and resources at the organizational level of any emergency medical services (EMS) system. These changes also have implications for protocols and procedures at the hospital and provider level. This may be one of the reasons why so much consternation over the new recommendation commenting on bypassing intravenous (IV) alteplase-capable hospitals to transport to a higher level of stroke care may have been deleted. Specifically, Section 1.3 EMS Systems, recommendation 4 stated that when several IV alteplase-capable hospital options exist within a defined geographic region, the benefit of bypassing the closest to bring the patient to one that offers a higher level of stroke care, including mechanical thrombectomy, is uncertain.2 target 30\u201334 millimeters of mercury) for patients with acute severe neurological decline from brain swelling as a bridge to more definitive therapy.The use of telemedicine evaluation of acute ischemic stroke patients is also a new recommendation that supports a service to assist community physicians who do not have access to on-site neurological services. Telemedicine allows physicians and patients in resource-poor communities to benefit from the expertise of a neurology consultation via live audio/video communication or simply by phone. The recommendations report that the administration of IV alteplase guided by telestroke consultation for patients with acute ischemic stroke may be as safe and beneficial as that of stroke centers.The AHA/ASA has released a correction to the 2018 Guidelines for the Early Management of Patients with Acute Ischemic Stroke: A Guideline for Healthcare Professionals from the American Heart Association/American Stroke Association since its initial online publication in January 2018."}
+{"text": "Background: Most previous studies consider advance directives as one single outcome, which conceals possible variations of individuals\u2019 decisions on two different advance directives documents\u2013living will (LW) and durable power of attorney for healthcare (PA). To advance the knowledge on advance planning among older adults in the US, this study examined how health status and education are associated with completions of LW and PA and whether such associations vary by age and race. Methods: Data are from the 2016 wave of Health and Retirement Study. Health status was indicated by chronic condition and ADL and IADL functional limitations. Logistic regression model was used to examine how the completions of LW and PA are associated with health and education variables respectively. Interaction terms were created to test the moderating effects of race and age. Results: The analysis results show that older adults with higher IADL functional limitation and more education were more likely to complete completing PA or LW. Being white and higher age will increase the probability for an older adult to complete PA, whereas the older adults with heart problem were more likely to complete LW. The association between IADL/ADL and PA was stronger in white than other racial groups, and the association between IADL and LW was stronger in young-old than the oldest-old. Conclusion: The findings highlight the importance of examining the completions of two advance directive documents respectively and indicate the necessity of developing distinct and concrete strategies to promote the completions of PA and LW."}
+{"text": "Ever since mandatory long-term care insurance was introduced in Germany there has been concern about staffing of nursing homes. As attempts to introduce the Canadian PLAISIR system failed today staffing ratios between federal states differ by more than 20 % and perceived understaffing is a major reason for the lack of nurses. Against this background the reform act from December 2015 commissioned the development of a new instrument to identify necessary staffing ratios. The University of Bremen was mandated to develop this instrument, and will present the final product in August 2019 to the Commissioner. The contribution will describe the methods applied in developing the instrument and the resulting instrument itself which translates the number and characteristics of any given nursing home into staffing requirements according to certain degrees of qualification, thus replacing general quotas of registered nurses to auxiliary staff by individual ratios for each nursing home."}
+{"text": "Colombia has the highest level of income inequality among Latin American countries, which likely translates into disparities in the aging experience. This study uses data on adults ages 60 and older from the 2017 National Survey of Quality of Life to examine socioeconomic stratification in physical health and psychological well-being. Colombians are assigned to estratos that reflect their residential location as well as social and economic position. Compared to those in the lowest estrato, older adults in the middle and high estratos are less likely to report having sensory impairment or difficulty with daily activities. They are also 1-2 times more likely to report feeling happy and calm. Those in the highest estratos are less likely to report feeling worried. Results suggest there is tremendous variation in the aging experience across socioeconomic strata and that older adults in the lowest strata are particularly disadvantaged with respect to health and well-being."}
+{"text": "Concerns have been raised that the transplants performed in the local context at the time of procedures reported in this article may haveDetails as to the donor sources and methods of obtaining informed consent from donors were not reported in , and wheThe authors state that no vulnerable populations were involved in their research and all organs were obtained voluntarily but did not provide ethics approval documentation or consent forms to support their claim or clarify whether organs had been procured from prisoners.The authors did not respond to inquiries about the availability of underlying data supporting this study.PLOS ONE Editors retract this article.Owing to the lack of documentation to demonstrate this study had prospective ethical approval, insufficient reporting, unresolved concerns around the source of transplanted organs and whether they included organs from prisoners, and in compliance with international ethical standards for organ/tissue donation and transplantation, the The corresponding author notified the journal that all authors disagree with the retraction. The other authors either could not be reached or did not respond directly."}
+{"text": "Jun Wang was not included as an author in the published article. The corrected Author Contributions Statement appears below:\u201cAT performed or assisted with all experiments and wrote the paper. AK performed the phase-separation characterization and helped write the paper. RA helped analyze data and edited the paper. NT helped analyze data and edited the paper. JW contributed to the initial concept of this work and assisted with experimental planning. JF oversaw all experiments and edited the paper.\u201dThe authors apologize for this error and state that this does not change the scientific conclusions of the article in any way. The original article has been updated."}
+{"text": "Althougact test . Surprisact test reached The authors stated that their data may have potential implications in clinical practice of acutely ill patients. According to our results, critical care clinicians should be wary of basing decisions about conservative or liberal oxygen therapy on the available information from this meta-analysis includinFurthermore, these results came from fragile and not statistically significant RCTs. Maybe it is time to add the FI and/or statistical significance of the considered outcome as criteria for the evaluation of the quality of evidence."}
+{"text": "This article examines the implementation of fish farming as an innovative and economic strategy for promoting food security and dietary diversities among vulnerable households in drought risk areas of Zimbabwe. The declining climatic conditions and lack of economic opportunities in Mwenezi district of Zimbabwe attracted the attention of three non-governmental organisations (NGOs) to implement fish farming as an innovative mechanism to stimulate food security and generate employment in the district. The article used a qualitative research approach that includes semi-structured interviews and secondary data. The purposive sampling technique was adopted to interview participants in Mwenezi district who were involved in fish farming to assess and explore the experiences and benefits they derive from such development projects. Results for the article revealed that fish farming was well embraced by local communities as it led to improvements in food security, household income and employment regeneration. The local government including traditional leadership (Chiefs and Headmen\u2019s) supported the NGO activities as they benefited local communities. The article concludes that although fish farming was instrumental in regenerating employment, some participants still fail to participate because of laziness and desire to maintain dependency syndrome. The article recommends the NGOs to launch awareness campaigns in rural communities and increase networking with the donor community which is fundamental in attracting sustainable funding. The government can also promote fish farming in vulnerable rural communities by providing funding and capacity building programmes. The theory is fundamental as it draws on the remembrance of ways and strategies which had been used over time to try and cope with challenges affecting the livelihoods of rural people in drought risk regions Lin . ResilieGupta, Bartley and Acosta state thIn sub-Saharan Africa, fish farming has quickly gained momentum as an innovative and economic mechanism for generating employment and increasing household income. According to FAO , TanzaniAt the launch of Zimbabwe Fish Producer\u2019s Association (ZFPA) at Exhibition Park on 17 March, aquaculture or fish farming was integrated into agriculture as part of the livestock sub-sector. Fish farming was regarded as a livestock enterprise that has the potential to be developed into a full-fledged agricultural industry in Zimbabwe and collect information from them from this project is sold to local markets and some even exported beyond international boundaries. The article observes that the fish farming projects involve the farming of aquatic organisms, including fish, molluscs, crustaceans and aquatic plants. Fish farming as a poverty alleviation technique was very successful as food security and household income greatly improved. Kawarazuka confirmeThe field officer interviewed remarked that:The day we launched the fisheries project many villagers became eager to join the fishing clubs within our project. The fisheries project was flooded since many people saw the benefits that were going to come out this project. Food security greatly improved as the produce (fish) was sold to the local markets and some exported at highly competitive prices. The project members were able to sustain their families and send their children to school. It can be deduced from this project that employment was created which improved the economic lives of the people in Mwenezi. However, a study by Brummett shows thThe implementation of fish farming and other food security programmes in Mwenezi district was incapacitated by limited funding from the donor community. Findings reflected that donor agencies failed to adequately fund local NGOs which results in the selective implementation of fish farming projects as some communities were left marginalised. The challenges emanated from the high level bureaucracy in the donor community which requires strong accountability to boards of directors and government ministries that release funding.One participant states:Fish farming is a good poverty alleviation programme which is helping us in our villages. But ever since we joined the programme, we do not have adequate funding as the NGOs are running many fish farming projects resulting in us being underfunded. We appeal to the government and well-wishers to assist with funding to buy more materials and vehicles to transport our produce to nearby markets. Based on the financial challenges to fund fish farming, there is a need for NGOs to network and foster relations with other business people and financial institutions which can fund development programmes.The three NGOs under study admit to the shortage of financial resources which affect them in conducting Monitoring and Evaluation (M&E) on fish farming projects. The article affirms that M&E was regarded as an expensive exercise that required excessive funding to undertake; hence, the three organisations chose to ignore it on grounds of poor revenue base. The findings revealed that the shortage of funds hindered the NGOs from hiring external evaluators that could have bankrupted their already bleeding accounts. The findings highlighted on the shortage of technology (i.e. computers) and technical expertise among NGOs\u2019 employees which could have posed serious challenges in implementing M&E strategies. The participants from all NGOs openly state that many NGO staff members were technologically inefficient which shows weaknesses in managerial leadership or. Based on these scenarios the NGO top management was supposed to initiate training programmes which help to equip their staff with the necessary skills to cope with the trends in the economic and technological environment. A study by Belton and Little endorsedThe success of NGOs in Zimbabwe rests on their ability to earn legitimacy with the people and government. The article revealed that legitimacy and political interference from government have been two major setbacks affecting fisheries and food security projects in Mwenezi district. NGOs indulging in fish farming projects are required to seek approval from traditional leadership and local municipality which often derails this poverty reduction strategy.One NGO Programme Officer states that:Before we started fish farming projects we sought permission from the Council and Local Leaders to hold community meetings with the people. The reason was to earn legitimacy so that local people can understand and believe in our mission. We had to wait for some days whilst our application was being processed. The long period of waiting disappoint some communities who were waiting for the fish farming projects to start. These findings augur well with a ban imposed on NGOs in Masvingo province in 2013 by the Provincial Governor who accused them of being Western Imperialists who are driving an anti-government agenda under the mask of development aid The above assertions clearly show that participants embraced fish farming which was fundamental for employment creation, improving food security and household income to meet basic needs. Findings reflected further that NGOs in Mwenezi undertook an active role in mitigating high poverty levels in the district although there is a need to instil a sense of complete ownership among community members so that full participation is achieved for sustainable development.The success of any viable entrepreneurial venture rests on the availability of markets to export the produce. The article establishes that the lack of market opportunities and low cash injections hindered fish farming in Mwenezi district. The growing competition of fish farming in Zimbabwe saw markets becoming flooded owing to the decline in the economy, and so the businesses are fast losing their profits. The shortage of ready markets led to fish farmers selling fish to local neighbourhoods and businesses at a relatively low price because of unavailability of the external markets. Failure to obtain ready markets constrained fish farmers to expand into a more commercialised business; hence, they remain small at subsistence level. The majority of participants pointed to the lack of credit facilities to finance labour and technologies as NGOs often took time to provide the needed equipment to use in fish farming projects.One of the participants laments:After harvesting fish we face challenges in terms of transport and markets to sell our produce. The local businesses and growth points what are our main target are always full since the competition is very high in our district. We end up selling our fish to individuals such as teachers, business owners at low prices which is discouraging since fish farming is hard work and we sometimes get little. We do not have enough knowledge about where to sell our fish as other towns are very far and we do not have enough money to hire trucks to transport the fish to other big towns. The reason is that the participants who are of rural origin lack collateral security to solicit loans from local banks such as Agricultural Bank (AGRIBANK). The lack of borrowing power often exposes rural people to donor dependency syndrome. This limited access to markets was acknowledged in a study by Wetengere where fiThe trends in the technological environment globally require organisations to adopt and cope with a wave of transformation which can improve the viability and profit margins of a business. The participants cited the limited technology application in the fish farming projects. This reduces the opportunity of fish farming to flourish into a more commercialised sector. On the issues of technology usage in fish farming, the participants lacked proper storage facilities, hatchery and improved fish feeds among others. The article points out further that fish farming in Mwenezi district has shown the need for extension services; however, there is inadequacy or non-viability of the extension services to disseminate information on the proper use of medicines, suitable fish farming technology and good management practises for fish farming. Research by Adinya, Offem and Ikpi supportsAccording to Myer , ethics The findings of the article show that NGOs in Mwenezi district have been playing a vital role in fish farming projects that were regenerating employment and increasing household income and food security. Nonetheless, limited technological application hinders the transformation of fish farming into a more commercialised income generating venture. NGOs are often regarded as the third sector in the economy of the country and have been advancing several innovations and new models that have been adopted by various stakeholders in developmental circles. Because of their generally flexible organisational structures and characteristics such as organisational autonomy and participatory structures, NGOs have added value to fish farming projects in Mwenezi district as they have abundant time to engage relevant stakeholders such as community members to discuss and teach them the nature and way to self-sustain in the drought risk district. Therefore, fish farming as an innovative mechanism for improving food security in the drought stricken district led to socio-economic improvements in most rural areas under study. Nevertheless, NGOs need to improve their managerial capacities to achieve effective food security and employment creation among vulnerable households in Mwenezi district.The article observes that the implementation of fish farming projects by three NGOs in Mwenezi district has been widely embraced as it helped reduce the dependency syndrome among rural communities by generating employment for sustainable food security. Various factors such as poor infrastructure, limited market opportunities, shortage of finance, lack of research training extension, M&E and legitimacy affect the NGOs in the district. However, the study has shown a positive relationship between employment regeneration and improved food security through fish farming. As a drought prone area, fish farmers in Mwenezi district have since improved their household income; hence, fish farming can be regarded as an innovative and economic mechanism for transforming rural livelihoods.The study faced various challenges ranging from the remoteness of the study area, time constraints and limited financial resources as it involves traveling to fish farming projects within the district. The other main constraint was the reluctance by other participants to respond to interview questions. To mitigate these challenges, some friends and family assisted with funding to be able to finish this study.Based on the conclusions drawn from this article, NGOs need to improve on their research culture to widen the scope of fish farming, for instance implementing cage fish farming which is easy to manage. Public-Private Partnerships (PPPs) are vital for NGOs to subsidise fish farming and offer incentives to feed production and processing industries as fish farming as an economic sub-sector improves food security, nutrition and creates employment. The government needs to support fish farmers with access to credit facilities to finance aquaculture projects. NGOs need to provide skills training on fish farming to rural communities to bridge the technology skills gap. The contribution of fish farming to the economy of Zimbabwe needs to be embraced by including it the national budget as a viable poverty alleviation technique."}
+{"text": "This paper explores the associations of depressive symptoms with social supports and social networks among dementia caregivers. It has been well documented that dementia caregivers are at greater risk of experiencing negative mental health and poorer physical health than non-caregivers. This paper describes a collaborative process between two universities and a community-based provider in designing a Social Network Analyses to examine the network structures used by dementia caregivers participating in a community-based support program. The relationship between the caregiver support networks and depressive symptoms, were analyzed using multivariate regression models. Given the small sample size and missing data multiple imputation was applied to the data. The findings suggest the effects of a variety of supports in the caregiver network on mental health and depressive symptoms. Among the findings it was found that the presence of financial support and frequency of contacts support resulted in a decrease in depressive symptoms and better mental health than for caregivers without similar supports in their networks. This paper will conclude with a discussion of potential uses of social network analysis to better understand how the structure of caregivers\u2019 network can address the concrete physical, emotional and financial needs of dementia caregivers."}
+{"text": "Nature and Science ran completely different news line-ups this week. But their lead stories agreed on one thing: patients matter. Nature led with a story about a group of patients who will share in a patent after giving blood and tissue samples to scientists. Science chose to lead with the controversial World Medical Association decision to recommend restricting the use of placebos in certain clinical trials."}
+{"text": "The number of people above 60 years old will double by 2050. There is a considerate variability in the health status of older people. The identification of the different trajectories that people follow as they grow older constitutes one of the aims of the ATHLOS project. In the current study, we created a metric of health in the four available waves of the Mexican Health and Aging Study (MHAS) by employing Bayesian multilevel Item Response Theory. Growth mixture modelling indicated that older Mexicans age by following four distinct pathways . Adherence to healthy lifestyle behaviours was associated with better health trajectories. Preliminary analyses in the ATHLOS harmonised dataset also suggest that older people age by following four distinct pathways. The impact of lifestyle behaviours within the harmonised dataset will be investigated and also presented."}
+{"text": "Animals have evolved a dramatic diversity of aging rates with lifespans ranging from 2 years to 200 years. This natural diversity of lifespan can be exploited to understand the mechanisms of longevity and develop anti-aging interventions. Our goal is to identify mechanisms that allow such exceptionally long-lived animals to live long and healthy lives and then use these mechanisms to benefit human health. Naked mole rat is the longest-lived rodent with the maximum lifespan of 32 years. We discovered that the mechanism of longevity and cancer resistance in the naked mole rat mediated by high molecular weight hyaluronan. I will discuss the mouse model we generated that mimics the naked mole rat and shows increased healthspan and lifespan. I will also the role of SIRT6 in mediating longevity across mammals and in human centenarians by improving DNA repair and silencing transposable elements."}
+{"text": "Most academic institutions welcome partnerships with industry and state government. These collaborations can lead to interventions to create social and environmental changes on a broad scale. Along with the opportunities, some challenges are inherent with these working relationships. The Kansas State University Center on Aging and the Kansas Department for Aging and Disability Services has been working together for more than 15 years on the Promoting Excellent Alternatives for Kansas nursing homes (PEAK) program. This collaboration has led to beneficial changes for nursing home residents and provided fertile ground for researchers wanting to examine these environments. This symposium will offer researcher insights as well as to elucidate process and procedures related to developing and maintaining collaborations with a state agency."}
+{"text": "This symposium addresses the issue of extended working life policy by considering the influence of gender and health on the experiences of older workers. In response to population ageing, policies designed to extend working life have been introduced in many countries. These policies include raising state pension age and linking the amount of state pensions more closely to years spent in paid employment. Such policies tend to be undifferentiated by gender or health status \u2013 in most countries, state pension age has been raised to the same age for men and women. Yet, research evidence indicates that women in all countries are disadvantaged in relation to employment at older ages and pensions. There are also health inequalities for older workers, depending on their occupation and whether they are in precarious or secure employment. Extended working life is of pressing societal concern. This symposium brings together the work of a group of leading international scholars who have been researching and reflecting on its implications in a forthcoming book on the topic across 34 countries. The symposium begins with an overview and analysis of the empirical landscape of older employment and pension policy by Martina Rasticova and Jim Ogg; Paper 2 offers a discussion of the theoretical perspectives and policy debates across 34 countries by Clary Krekula; there will be an analysis of extended working life policy in Ireland by Aine Ni Leime and a final presentation synthesising policy recommendations and mapping future research directions in extended working life by Debra Street."}
+{"text": "Materials [The authors have found two errors in the paper published in aterials . The errThe authors wish to make the following corrections (in both formulas of the paragraph) to this paper:\u201cIn the two-dimensional space, the maximal packing density for identical circles is given by These changes have no material impact on the conclusions of the paper. The authors would like to apologize for any inconvenience caused to the readers by these changes."}
+{"text": "Frontiers in Chemistry features papers that utilize phenolic compounds such as catechols for designing functional coatings and materials. Recently, scientists worldwide have incorporated catechols and various phenolic compounds in designing advanced and multifunctional materials with unique properties , on the polymerization process of dopamine to form a polydopamine coating. HMDA promoted intermolecular crosslinking between the oxidized form of catechol and subsequently promoted film deposition. This article further confirmed the use of resorcinol as an inhibitor to polydopamine formation.The formation of polydopamine coatings involves the autoxidation and crosslinking of dopamine to form an adhesive primer for additional surface functionalization when the coating was hydrated in an aqueous solution. H2O2 is generated as a byproduct during catechol autoxidation and coated onto various elastomers commonly used to fabricate urethral catheters. The coating significantly lowered the friction coefficient of the elastomers. Additionally, incorporation of silver nanoparticles into the coating enhanced the antimicrobial property of the coating.All authors listed have made a substantial, direct and intellectual contribution to the work, and approved it for publication.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "In medicine, we still cannot objectively assess who will recover from health stressors imposed by disease or its treatment. If resilience, the dynamic ability to respond to and recover from health stressors, is considered as an emergent feature of a complex system, then methodology from complexity science may help us quantify the health-promoting features that support the recovery process. This presentation describes ongoing work aimed at empirically testing the concept and predictive value of resilience by examining the extent to which small-scale responses of bodily systems to natural (micro)perturbations and indicators of loss of complexity are related to physical functioning and recovery throughout the journey of 120 geriatric inpatients. Dynamic indicators of resilience and multiscale entropy measures were estimated from continuous heart rate and accelerometer data and compared to measures of patients\u2019 physical functioning at admission, discharge and 3 months later."}
+{"text": "The authors of the paper originally entitled \"Sources of Information and Behavioral Patterns in Online Health Forums: Qualitative Study\" :e10) wish to correct the title of their publication. The subtitle \"Qualitative Study\" is misleading because the analysis was primarily quantitative. The title has now been changed to read \"Sources of Information and Behavioral Patterns in Online Health Forums: Observational Study\". This error has been corrected in the online version of the paper on the JMIR website on January 31, 2014, together with publishing this correction notice. There are no changes to the contents of the paper. A correction notice has been sent to PubMed.\u00a0This was done before submission to Pubmed Central and other full-text repositories."}
+{"text": "Despite global trends in rural population ageing, relatively little attention within research and policy has been directed to understanding what it means for rural people, communities and institutions to be at the forefront of twenty-first century demographic change. To build understanding of rural ageing, this symposium draws together papers from four countries to provide insights in the gaps in rural ageing research \u2013 specifically the in context of productive and active rural ageing by examining rural work, retirement and volunteering through the critical perspectives of citizenship, contestation and complexity. Winterton and Warburton will explore how active citizenship trends among rural older adults support or hinder the capacity of rural settings to support health ageing. Colibaba and Skinner will discuss the contestation of rural ageing by examining a volunteer-based rural library and the emergent \u2018contested spaces of older voluntarism\u2019 whereby older volunteer negotiate their rights and responsibilities associated with ageing and volunteering in rural communities. Duvvury and Ni Leime will examine the interactions between the twin phenomena of feminisation of agriculture and the feminisation of ageing in the consequent implications for rural women\u2019s work and retirement. Skinner and Joseph offer a critical perspective on voluntarism in ageing rural communities by examining volunteer leadership biographies as another means of understanding the contribution of older rural adults."}
+{"text": "Impact Factor (IF) of academic journals continues to gain further importance with not only science community but also academic institutions, funding agencies as well as the Editors of academic journals the world over with every passing day. Despite lot of criticism IF has attracted over the last decade in particular and lot of drawbacks, it is still considered as the best available Scientometrics to judge the standard of an academic journal.It may be mentioned here that Impact Factor is a citation based metrics based on the average number of times an article published in a particular journal has been cited by authors in other journals.ISI has about 34,171 journals published in academic disciplines which includes 12,271 journals covering medical and social sciences.4Faced with this new situation the Editors and Publishers have started using different strategies to increase their Impact Factor i.e by refusing to publish supplements, encouraging authors and reviewers to cite papers published in their journals. Ensure early publication of papers which are likely to be cited early in the year and making the papers electronically accessible through their websites as early as possible.8San Francisco Declaration on Research Assessment (DORA) issued in December 2012 during the American Society of Biology meeting was considered almost a fatal blow to Impact Factor. DORA emphasized to stop the use of \u201cJournal Impact Factor\u201d in judging the scientists\u2019 work.13The increasing importance of Impact Factor is evident from the fact that many publishers and Editors who fail to get indexed by Web of Sciences feel proud to decorate the title of their journals with various fake Impact Factors. Some of these commonly known fake IF include the following:The twelve academic journals from Pakistan which includes three medical journals which enjoy Impact Factor are shown in Table-IIWhile the editors should concentrate on improving the quality of the manuscripts they accept for publication and accelerate their efforts to improve the standard of the journal, manipulating and artificially boosting their Impact Factor is highly unethical. They should follow author friendly policy, help and guide them to improve their manuscripts with the help of members of the editorial board and peer reviewers. It is nice for the editors to know their rights but they must also remember their duties and responsibilities which include teaching and training through workshops. Many journal editors and bodies of Editors including World Association of Medical Editors (WAME), Eastern Mediterranean Association of Medical Editors (EMAME), Asia-Pacific Association of Medical Editors (APAME), Pakistan Association of Medical Editors (PAME) and editor\u2019s bodies in many other countries are already doing this by organizing workshops and these efforts should not only be continued but also accelerated in collaboration with other professional specialty organizations and medical institutions."}
+{"text": "Recruitment of African American (AA) participants into clinical research trials in the area of aging and dementia is a major problem facing the field. Although AAs are at a significantly elevated risk of developing Alzheimer\u2019s disease (AD), they are underrepresented in clinical trials and research studies. While previous research has identified a number of barriers to participation, relatively little is known about how to overcome these barriers and engage AA individuals in research. Photovoice may provide a novel approach to advance our understanding of AA perceptions in regards to barriers and strategies to increase AA engagement in brain aging research. The purpose of this project is to add to existing understanding of barriers and facilitators and identify strategies to enhance engagement. Three AA research advocates served as community facilitators to identify and guide groups of AA adults though an 8-10 session photovoice project. Group sessions involved discussions and sharing of images pertaining to various prompts in the area of brain health and research participation. Sessions were audio-taped and transcribed verbatim and photos were uploaded. Participants identified four categories of barriers to AA research participation: Mistrust, the belief that all research involves medication, avoidance and fear of acknowledging problems, and seeing the risks of research but not the need. Participants had various suggestions and approaches for ameliorating each of these barriers. This photovoice community engagement process revealed unique insights into barriers and opportunities for increasing AA engagement in brain aging research."}
+{"text": "In the original article, there was an error. The statement of written informed consent procedures was incorrect because of inappropriate wording.Materials and Methods, subsection Participant Selection, paragraph two:A correction has been made to the \u201cThis study was approved by the Ethical Committee of Tianjin Medical University General Hospital and written informed consent was obtained from all participants or their guardians.\u201dThe authors apologize for this error and state that this does not change the scientific conclusions of the article in any way. The original article has been updated."}
+{"text": "Almost 25% of US military veterans live in rural areas and over 70% of these are age 55 years or older. The physical, cognitive, and functional declines common to aging coupled with accumulated physical and psychological traumas often incurred through military service make caring for older Veterans an especially difficult challenge. Furthermore, the geographic distances associated with rural living pose a significant barrier to timely access to care for aging Veterans and caregivers living in remote communities. Significant gaps remain in VA\u2019s understanding of the needs of this population, which is essential for developing adequate models of care. This symposium highlights various aspects of the rural older Veteran experience and will suggest opportunities for improving access to care for this population. The first presentation estimates the differential impact of rural status on mortality rates among older Veterans using mortality data from the General Social Survey . A second study is an analysis of urban/rural differences in PTSD symptoms as function of multiple co-factors and accounting for geographic location . Seaman et al present qualitative data regarding the experience of Veterans with head and neck cancer to understand how rurality impacts cancer survival . The final presentation will highlight a model to address mental health problems in older Veterans in primary care and will specifically highlight how this VA program may be adapted to address such needs the needs of older Veterans in rural areas."}
+{"text": "Bionic Radiologist is a concept that combines humanity and digitalization for better health care integration of radiology. At a practical level, this concept will achieve critical goals: (1) testing decisions being made scientifically on the basis of disease probabilities and patient preferences; (2) image analysis done consistently at any time and at any site; and (3) treatment suggestions that are closely linked to imaging results and are seamlessly integrated with other information. The Bionic Radiologist will thus help avoiding missed care opportunities, will provide continuous learning in the work process, and will also allow more time for radiologists\u2019 primary roles: interacting with patients and referring physicians. To achieve that potential, one has to cope with many implementation barriers at both the individual and institutional levels. These include: reluctance to delegate decision making, a possible decrease in image interpretation knowledge and the perception that patient safety and trust are at stake. To facilitate implementation of the Bionic Radiologist the following will be helpful: uncertainty quantifications for suggestions, shared decision making, changes in organizational culture and leadership style, maintained expertise through continuous learning systems for training, and role development of the involved experts. With the support of the Bionic Radiologist, disparities are reduced and the delivery of care is provided in a humane and personalized fashion.Radiology images and reports have long been digitalized. However, the potential of the more than 3.6 billion radiology examinations performed annually worldwide has largely gone unused in the effort to digitally transform health care. The This provides the opportunity for greater involvement of radiologists in shared decisions making with patients, which in turn is a solution in itself to avoid poor work satisfaction,es Table .34 For instance, neural networks can be used to predict the probability of brain injuries in elderly patients presenting with head injury after a fall which may be used for guiding testing decision.38 Natural language processing of clinical information provided by referring physicians and demographic data can be used to predict the protocol and priority of brain MRI examinations.39 Clinical prediction models can provide probabilities for instance of pulmonary embolism which has shown to improve the yield of imaging and avoid imaging in those not needing it.40 It is also know that patients with stable chest pain and low-to-intermediate clinical probability of coronary artery disease (7\u201367%) benefit most from coronary CT angiography.41 This information can readily be integrated into decision making about further testing in patients presenting with chest pain. An important barrier to implementation of such decision support systems in clinical practice is the hesitation of physicians to refrain from diagnostic testing in patients who are actually suggested to not need further imaging tests.42 Another practical challenge is that the half-life of clinical data for training decision support systems is just four months indicating that most recent data are needed and continuous updating is crucial.43There are already at present several examples for guiding decision making about imaging tests with the help of other clinical information for instance from the medical records or laboratory tests.15 The potential of this becomes clear when noting that present-day artificial neural networks are as accurate as radiologists in detecting breast cancer on a mammogram.44 However, there are also more false positive findings using current deep learning image analysis techniques for instance for detection of critical findings in head CT,45 which may lead to radiologists\u2019 fatigue posing a safety risk and should thus be avoided using better technology. The Bionic Radiologist as a combined approach to leverage both the consistency of automatic analysis and individual nuances of human image analysis would possibly have greater value for clinical practice. This however implies considerable changes in the work flow and will require a revolutionary shift in how radiology is practiced today: data science and artificial intelligence will be practically and physically integrated into the workplace of radiologists and interrelated functions. The Bionic Radiologist will be a radiologist supervising the results generated by machine learning algorithms and integrating them with other clinical data for the final interpretation.14 Interestingly, such a hybrid approach might also be most acceptable to patients according to a survey at Charit\u00e9 among 100 patients clinically referred to computed tomography; 85% preferred an analysis by radiologists and computers compared to either of them alone.A true augmented radiologists\u2019 image analysis by machine intelligence may increase consistency and avoid perception and interpretation errors when reviewing patients\u2019 radiology images.Bionic Radiologist approach would be similar to the situation in the airplane cockpit where the autoflight system is used most of the time, but for the situations in which human interaction cannot be replaced one prefers to have a pilot on board. Interestingly, the human pilot can better control for anomalies than the autopilot46 and shared control architecture should thus be considered for medical use. We also need to continue to advance the currently rather basic information technology infrastructure in health care so that it can integrate multifaceted information from all disciplines including radiology.47 This will allow radiologists more time for what should be their two primary roles in addition to interpreting images: talking empathetically to patients who are undergoing procedures and consulting with referring physicians. In general, this effect has potential to revitalize the patient-physician relationship. However, if the role shifts toward only supervising results generated by artificially intelligence a decrease in image perception and interpretation skills among physicians has to be expected to occur in the future. Expertise should thus be maintained through training that includes automated and individualized feedback systems to the human reader about his or her cases which is fed by patient events and outcomes as well as efforts leading to more widespread use of quantitative imaging biomarkers such as the Quantitative Imaging Biomarkers Alliance (www.rsna.org/QIBA) and global health data sharing from pivotal clinical trials in radiology.75The 77 This can be addressed\u2014in analogy to the interplay between human pilot and autopilot\u2014by e.g. a greater role of humans in quality control and oversight of any treatment decisions before they are put into effect (Table 78 Job design and job development have to face the criteria which are related to such a role development and open mindset for new forms of human-computer collaboration.31Structured reporting will thus transform the culture of radiology reporting practice from prose text documents towards structured reports which have greater standardization and enable searchability. This requires acceptance on the human side for changes in the workplace which affect the culture of radiology as a clinical discipline. This includes overcoming the perception that patient safety and trust may be at stake if treatment recommendations are automatically generated by algorithms based on integration of imaging findings with other clinical information using computer-led systems.ct Table . This gr72 Similar electronic solutions are available for breast,79 coronary artery,80 and prostate imaging. There are also IT solutions that standardize radiology reports of abdominal aortic aneurysms and facilitate communication of results and patient follow-up.81 Importantly, natural language processing methods now allow to automatically extract and characterize the clinical significance of findings in radiology reports82 and convolutional neural networks have better accuracy for radiology text report classification than rule-based models,83 which holds potential to facilitate linking treatment recommendations with findings provided that a sufficient level of standardization is present in reports.73Several examples of structured reporting for improved linking of imaging findings with treatment suggestions exist. For instance, structured reporting of multiphasic CT of pancreatic cancer improves the completeness of reports while structured rectal cancer MR imaging reports reduce the need for further treatment planning consultations.Bionic Radiologist about whether or not to do an imaging test depends on a consistently obtained patient history and clinical background, clinical prediction rules, and models for decision making. To implement this integration of human and machine decision making in medical care requires uncertainty quantifications for decisions and predictions in order to obtain acceptance by the human radiologists. Integration of artificial and individual intelligence will also benefit from the digital transformation as a socio\u2013technical system with dynamics that balance interests on all sides.84 Using the opportunities of artificial intelligence for image analysis in clinical practice requires a seamless integration with human image analysis. This will also provide the radiologist with greater freedom for involvement in shared decision making with patients which will increase work satisfaction.85 This is in line with a recent survey of radiologists who expect an increase in the time spent with patients as a result of artificial intelligence implementations as well as a lower risk of imaging-related medical errors.86 Acceptance by human radiologists will be further increased by automated and individualized feedback systems to the human readers about outcomes of his or her patients and thus enhancement of the expert role. Bionic radiologists will use structured reports that include automatically generated reminders about imaging findings that require follow-up as well as treatment recommendations to avoid missed care opportunities and increase patient safety and trust of all stakeholders involved in health care by oversight of treatment decisions. The overall goal is to provide better integrated health care through the Bionic Radiologist combining digitalization with human input at all stages. Success in the implementation will ensure that advances in artificial intelligence and digital medicine benefit diagnostic management decisions by providing calculated disease probabilities to avoid disparities and provide humane and personalized health care universally. The implementation of the Bionic Radiologist depends on the interplay between the new technological potential, individual behavior and institutional organizational properties whether the positive outcome in terms of better decisions and medical care can be attained.88 The most critical influencing factors are summarized in Fig. Enabling better decisions by the Bionic Radiologists promises better outcomes and lower costs through better integration of diagnostic imaging in clinical care processes. In this perspective we outlined the characteristics and facilitating factors with respect to the technology development itself, the surrounding institutional conditions and resistance due to the required change in culture as well as the prerequisites for individual acceptance and adaptation (see Fig. The see Fig. . FurtherIt is an issue of future research to further analyze what the interaction between these fields can look like and what the specific characteristics of relevant variables are for gaining better outcomes in terms of appropriateness, completeness, and timeliness. A longitudinal socio\u2013technical system analysis with time-series analysis of health care data which are related to the characteristics of the workplace is supposed to be a suitable approach. This also implies that medical technology research could and should be further aligned to organizational studies and that the question of trust in AI-assisted medical imaging should play a central role in future research."}
+{"text": "Empirical applications of cumulative dis/advantage primarily focus on accumulative processes within an individual life course as a mechanism generating growing intracohort inequality with age. However, adult health reflects the accumulation of exposures to advantages and disadvantages across the individual life course as well as the transmission of resources and practices across generations within one\u2019s family of origin, which forms the foundation from which children are launched and inequality is reproduced. In analyses using two panel studies , we integrate literature on the early-life origins of health with the concept of linked lives and the intergenerational transmission of resources to examine the relationship between parents\u2019 health and the health of their children in adulthood. Results indicate an intergenerational persistence in health and demonstrate the importance of looking beyond the individual life course to better understand cumulative dis/advantage in health as a process operating across generations within families."}
+{"text": "Vaccines. [The authors wish to make the following corrections to this paper due to a typesetting error in the conclusion of this article which was recently published in accines. . The conBifidobacterium breve) as an adjuvant therapy for the modulation of chemotherapy efficacy and toxicity has been reported [87].\u201cStudies that investigate the relationship between the intestinal microbiome and the development and function of the immune system continue to demonstrate novel concepts that increase knowledge-based concepts for disease treatment. Cancer immunotherapy is such an example where for more than a decade in the field of oncology, the objective to harness the patient\u2019s immune system to kill tumours has remained a key goal . Recent research strongly suggests and shows that the intestinal bacterial cohort can significantly facilitate the efficacy of checkpoint inhibitor immunotherapies in cancer treatments [83\u201386]. As a consequence of this research activity, the administration of probiotics and autoimmune pathologies . There is hence a logical step established for the inclusion and administration of probiotic formulations in the treatment of cancers with immunotherapies [88] as well as an adjuvant for vaccines in early and late life.\u201dThe authors would like to apologize for any inconvenience caused to the readers by these changes."}
+{"text": "Dutch nutrient policy aims at reducing leaching of agricultural nutrients by internalizing the negative externalities associated with inefficient nutrient use. This is done by taxation of nitrogen and phosphate surpluses that exceed a hectare-based threshold of maximum-allowed surpluses. One management strategy farmers may use to reduce the nutrient surpluses on their farms is to improve the nutrient efficiency of the agricultural production process. This study employs Data Envelopment Analysis (DEA) to calculate nitrogen and phosphate efficiencies and an overall nutrient efficiency measure for a 3-year panel of 114 Dutch dairy farms. Subsequent analyses show the impact of both farm intensity and nutrient efficiency on the nitrogen and phosphate surpluses. It appears that farm intensity has a positive effect on efficiency, but efficiency and intensity exert opposite influences on nutrient surpluses. This is especially the case for nitrogen. The magnitude of a possible reduction of nitrogen surpluses through a strategy of efficiency improvement is therefore limited by the intensity of the farming system, unless the technology with which nutrients are used by the farming system can be further improved or input/output ratios will be altered."}
+{"text": "Data in Brief comprises the curated data and species overlaps in the mentioned prioritization schemes. It aims to facilitate further critical and extended analysis and to highlight the importance of record keeping and management of aquatic species in zoological institutions across the globe for the conservation of these species.The data presented in this article are related to the research article entitled \u201cAssessing the Conservation Potential of Fish and Corals in Aquariums Globally\u201d. This article unveils the number of fish and coral species held by members of the Species360 network, from records in the Zoological Information Management Systems (ZIMS). Furthermore, we provide data for species in ZIMS that are under the following global prioritization and conservation assessments: i) the Convention on International Trade in Endangered Species of Wild Fauna and Flora (CITES), ii) the International Union for Conservation of Nature (IUCN) Red List of Threatened Species, iii) Vulnerability to Climate Change, iv) Evolutionary Distinct and Globally Endangered (EDGE) and v) the Alliance for Zero Extinction (AZE). The material in this Specifications tableValue of the data\u2022This is the most comprehensive overlap of 3511 species of fish and corals with five global species conservation assessments and prioritization schemes. We aim to inform how many of the species in aquariums members of the Species360 global network registered in ZIMS align with those schemes.\u2022ex situ populations for species of conservation concern.These data will assist further research on \u2022These data could support the decision-making process of aquariums and zoological institutions on captive management and collection planning.\u2022The dataset may also assist in further assessments by identifying existing gaps and opportunities for conservation.1The data incorporates 3511 species in aquariums with five conservation assessments and prioritization schemes.2The creation of this dataset is based on an extensive analysis of six online datasets: i) species holdings from the Species360\u05f3s Zoological Information Management System (ZIMS) R package taxizemerge function from R. We identified the species currently managed in a studbook in the European Association of Zoos and Aquariums (EAZA) The species names were standardized according to the accepted scientific name in Catalogue of Life (CoL) In"}
+{"text": "Oryza sativa) was domesticated in Asia many thousands of years ago and more recently independently in Africa. Wild rice populations are found around the tropical world. The extensive production of rice in many areas has displaced the wild populations that were the basis of the original domestications by humans. Recent research, reviewed here, has identified wild rice species in northern Australia that have been isolated from the impact of domestication in Asia. Wild rice populations contain novel alleles that are a source of desirable traits such as erect habit, disease resistance, large grain size, and unique starch properties. These populations include the most divergent genotypes within the primary gene pool of rice and more distant wild relatives. Genome sequencing also suggests the presence of populations that are close relatives of domesticated rice. Hybrid populations that demonstrate mechanisms of ongoing evolution of wild Oryza have been identified in the wild. These populations provide options for both new domestications and utilization of novel alleles to improve or adapt domesticated rice using conventional or preferably new breeding technologies. Climate change and growing food demands associated with population and economic growth are major challenges for agriculture including rice production. The availability of diverse genetic resources to support crop adaptation and new crop domestication is critical to continued production, and increased efforts to support in situ and ex situ conservation of wild Oryza and related species are warranted.Rice is one of the most important food crops contributing to the diet of large numbers of people especially in Asia. Rice ( Oryza genus is distributed around the tropical world. Domesticated rice has been cultivated in many of the areas that would have been native habits for wild Oryza species. Australia is a region that has escaped from the impact of rice domestication until very recently resulting in the persistence of many extensive populations of wild Oryza includes the two domesticated species and six wild relatives. The genus has 11 genome types with the AA, CC, and EE genomes types found in Australia. Other members of the Oryzeae tribe are also found in Australia . The indica and japonica types correspond to distinct chloroplast sequences in wild populations indicating capture of these in separate domestication events. The aus type was found to include individuals with either wild chloroplast types in the domesticated rice gene pool , making Oryza species, Oryza officinalis, and Oryza australiensis and other species from within the tribe Oryzeae such as Potamophila has been reported only in the extreme north of Australia on the mainland and on Moa Island in the Torres Strait. Collect of this species has not been reported recently, and the status of the Australian populations is uncertain. The author was unable to locate populations on Moa Island during a visit in 2016. This species is part of the CC genome group of Oryza species. Populations reported in Australia may not be permanently established and may be the result of occasional migration from Asia suggesting that the current presence of this species in Australia requires confirmation.O. australiensis .Potamophila parviflora; Zizania of North America than to Oryza. Cold adaptation and the presence of separate male and female flowers are potentially useful traits. This species grows just south of the border between Queensland and New South Wales but has not been reported in Queensland despite some searching by the author and others.River grass is found throughout temperate Australia demonstrating adaptation to cooler climates. Attempts have been made to domesticate this species as a cool climate dryland rice crop. Mutagenesis had high amylose contents and gelatinization temperatures. Pasting properties varied. Analysis of starch structure suggested the presence of shorter chain amylose in O. australiensis . Specific descriptors were developed for sensory evaluation of these rices. The Australian wild rice was similar to the red rice and red basmati having a mild aroma and flavor but without the lingering aftertaste. The wild rice had a firmer texture and required a longer cooking time. The overall cooking profiles, sensory, and physical attributes suggest and that Australian wild rice has potential for commercialization in the colored rice market and may be a useful genetic resource for rice breeding.Sensory evaluation of Australian wild rice has indicated acceptable eating qualities . AustralProduction of domesticated Asian rice in northern Australia has been limited by a high incidence of disease relative to rice production further south in Australia. The southern production areas have been well outside the natural range of rice and rice pathogens. Rice and associated rice pathogens are natiThe wild populations are extensive in the extreme north but are threatened by developments including the improvements of roads and the resulting more rapid spread of invasive weeds into new areas, associated with increased traffic. Aquatic weeds are displacing wild populations at some locations including protected areas such as national parks. Greater awareness of the presence of these populations and their potential to contribute to global food security is necessary to ensure adequate measures are taken to protect the wild populations.The Australian landscapes in which rice is found in Australia have been inhabited by humans for a very long time. The way in which rice was used as food is not well documented. It is possible that human use has impacted on the genetics of wild rice populations in Australia. The large grain size of some Australian populations might reOryza could be targeted for direct domestication as new rice types. The key trait to be overcome in domestication is probably shattering, with wild populations all demonstrating high shattering characteristics. The option of domestication needs to be considered along with the potential to source many genes for useful traits in these populations for transfer into domesticated rice. The traits that are most desirable are disease resistance, grain size, grain color, and grain quality (starch properties). The strategy of new domestication may be especially useful in developing rice varieties adapted to new climates with advancing or rapid climate change especially with the availability of extensive genomics resources for rice (In addition to their use in rice improvement, the Australian for rice .ex situ collections in seed banks need to be supplemented by much more extensive collections. The in situ conservation of these species would be aided by greater awareness of the populations and their importance and may involve efforts to control weeds invading the aquatic habitats of the wild Oryza. Revision of the taxonomy of the A genome species is suggested by the available molecular evidence. Clarification of the taxonomy may aid conservation efforts by ensuring efforts to conserve rarer populations, including suspected hybrid populations. The growing genomic resources for the Oryza genus (Wild rice populations in Australia include species at varying distances from domesticated rice. These provide a rich resource for use in rice improvement. Both novel alleles and novel traits might be sourced from the Australian wild genotypes. Increased efforts to conserve these genetic resources would be justified. The current very limited za genus would beThis manuscript is the work of the author.The Australian Research Council provided support for much of the research reviewed here.The author declares that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Concerns have been raised that the transplants performed in the local context at the time of procedures reported in this article may haveInternational ethics standards call for transparency in organ donor and transplantation programs and clear informed consent procedures including considerations to ensure that donors are not subject to coercion. Details as to the donor sources and methods of obtaining informed consent from donors were not reported in . In respThe first author expressed that they stand by the results reported in this article but the individual-level data underlying the study\u2019s results are no longer available.PLOS ONE Editors retract this article.Owing to the lack of documentation to demonstrate this study had prospective ethical approval, insufficient reporting, unresolved concerns around the source of transplanted organs and whether they included organs from prisoners, and in compliance with international ethical standards for organ/tissue donation and transplantation, the The authors did not respond to express whether they agree with the retraction decision."}
+{"text": "How does the integrated and unified conscious experience arise from the vastly distributed activities of the nervous system? How is the information from the many cones of the retina bound with information coming from the cochlea to create the association of sounds with objects in visual space? In this perspective article, we assert a novel viewpoint on the \u201cbinding problem\u201d in which we explain a metastable operation of the brain and body that may provide insight into this problem. In our view which is a component of the Default Space Theory (DST), consciousness arises from a metastable synchronization of local computations into a global coherence by a framework of widespread slow and ultraslow oscillations coordinated by the thalamus. We reinforce a notion shared by some consciousness researchers such as Revonsuo and the Fingelkurts that a spatiotemporal matrix is the foundation of phenomenological experience and that this phenomenology is directly tied to bioelectric operations of the nervous system. Through the oscillatory binding system we describe, cognitive neuroscientists may be able to more accurately correlate bioelectric activity of the brain and body with the phenomenology of human experience. Phenomenology is the reflection on and analysis of the essential structure and form of conscious experience Husserl, . An undeThe Default Space Theory (DST; Jerath et al., There still exists a debate as to whether neural oscillations play a functional role in cognition and consciousness, if they arise simply as a epiphenomenal byproduct of spiking activity, or even if they interfere with normal processing (Koepsell et al., The binding problem is a considerable mystery in cognitive science which ponders how a unified experience could arise from the distributed and disparate activities of the nervous system (Revonsuo and Newman, The temporal binding model proposes neurons responding to identical sensory objects or scenes in space synchronize in the millisecond range while this synchronization does not exist between neurons representing separate objects in external space (Singer and Gray, In our perspective shared by a subset of consciousness researchers, the most fundamental aspect of human experience is a subconscious Damasio, , unifyinWe share the view that consciousness is an emergent phenomenon resulting from a functional representation or simulation of the external world and that the ontology of our phenomenological space-time is a direct replication of the dimensional nature of the physical universe Siegel, . This alWhile there is significant support for a phenomenological space-time coordinate matrix as a foundation of experience, not much research has been invested in how this is reflected neurophysiologically. Our novel interpretation of this bridge between the material and experiential may provide great insight into binding and multisensory integration. This interpretation includes the notion that this subconscious space-time matrix is isomorphic to an ongoing, global, dynamic architecture of harmonious oscillatory activity (Jerath and Beveridge, via synchronization. Other theories of consciousness have also correlated higher frequency activity with consciousness and lower frequency with unconsciousness such as the Dynamic Core Hypothesis (Murphy and Brown, We propose this underlying, global, operational structure provides a coherence mechanism for all sensory modalities to unify based upon their spatial coordinates in external space and may provide an explanation for baseline neural activity. Baseline activity was traditionally considered noise (Emadi et al., Our perspective that the global cognitive architecture consists of multiple oscillatory layers (Jerath and Crawford, According to most perspectives in phenomenology, qualia must have structure, composed of several experiential distinctions such as visual color, a location, or sound Husserl, . The lowvia spatial attention (Sasaki et al., via inter-hemispheric connectivity provide a more sound explanation (Corbetta, Synchrony of Alpha oscillations in addition may mediate the rise of these frameworks into conscious awareness via the base oscillatory layer ultra-slow oscillations responsible for the spatial coordinate matrix we have described. The integration is primarily accomplished by binding and entrainment through similarity in space and time (Molholm et al., via synchrony and filled into their respective phenomenological frameworks which are themselves filled into the 3D coordinate virtual matrix.Imagine yourself along a busy street while you attempt to cross. Auditory and visual stimuli from passing cars provide reciprocal information on passing cars allowing you to safely cross, however these distinct categories of information must be integrated and unified for effective perception of crossing safety. Research has shown that different sensory modalities are indeed spatially and temporally integrated so that different qualities belonging to the same object are registered in the same space and time (Treisman, The dynamic nature and functional importance of audiovisual integration is demonstrated in a pioneering study showing incongruent auditory-visual speech signals result in a fused speech percept (Mcgurk and Macdonald, Gamma band activity is shown to increase when auditory and visual signals are presented close in time (~25 ms; Senkowski et al., via corticothalamic connections (Tyll et al., In our view, the thalamus and the thalamocortical oscillations are additional key coordinators of oscillatory activity among the cortex and among the cortex and sensory receptors [our novel proposition (Jerath et al., In asserting our perspective on phenomenal space-time and its isomorphic bioelectric structure, we have endeavored to provide insight into the binding problem regarding multimodal integration. We have focused on audiovisual integration in this article to provide an important instance of how this underlying oscillatory structure may entrain and organize multisensory streams into a unified whole resulting in the integrated experience. We have put forth a hierarchical view on oscillatory cognitive frameworks which include a basal, unconscious virtual coordinate matrix characterized by slow oscillations and the subconscious sensory frameworks characterized largely by Alpha oscillations. The sensory frameworks are bound to the space-time framework upon which qualia are further bound represented by even higher frequency oscillations. This hierarchy is supported by research revealing functional baseline activity and the fact that slow oscillations underlie and entrain faster ones. By describing how the slow oscillations produce a virtual space-time matrix, we describe a means for disparate sensory modalities to be integrated. In addition to empirically identifying a global oscillatory framework underlying sensory frameworks, further research should investigate the role of different frequencies in multisensory integration.Theory developed by RJ with some writing with majority of the manuscript written by CB.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "This study by Lieber and colleagues published in 1975 is one of a few seminal articles written in the past 25 years that has made a critical impact on the subsequent direction of research conducted on the mechanism of alcoholic liver disease (ALD), which usually progresses from fatty liver to hepatitis (inflamed liver with dead liver tissue) to liver fibrosis (scarring liver) to cirrhosis (severe and irreversible scarring of the liver). To comprehend fully the significance of this article, it is helpful to have a good historical perspective on the controversy that dominated the field at the time it was published. At the center of the controversy was this question: Does alcohol itself or do other factors such as dietary deficiency cause ALD? Not only was this issue scientifically important, but it also had serious practical implications.Because patients with ALD often have accompanying malnutrition, deficiencies of key nutrients were thought to be a primary cause of this disease. This view was exemplified by the early studies of In their study, Lieber and colleagues fed a liquid diet containing alcohol that was originally developed for rats to a species related more closely to humans\u2014the baboon. The researchers chose baboons because an earlier study had shown that, as a result of their aversion to alcohol, rats fed this liquid diet derived no more than 36 percent of their total calories from alcohol and failed to reproduce liver disease beyond fatty liver. Lieber and colleagues hypothesized that baboons might overcome this limiting factor and consume enough alcohol to induce more advanced ALD. Indeed, their study demonstrated that the baboons\u2019 alcohol consumption reached 50 percent of their total calories, a percentage approximating the calorie amount that many human alcoholics derive from alcohol. In addition, these animals exhibited the sequential development of the whole spectrum of ALD, ranging from fatty liver and hepatitis to cirrhosis. Because the liquid diet was designed to provide adequate nutrition, the baboons\u2019 development of liver disease was interpreted as evidence supporting alcohol\u2019s causal role in the development of ALD.Epidemiological studies of alcoholic patients by Over the past two decades, Lieber and colleagues\u2019 findings indicating that alcohol is a primary causative agent for ALD inspired more aggressive studies on the biochemical basis for alcohol\u2019s injurious effects on the liver. As a result, several hypotheses emerged, all of which linked the chemical breakdown of alcohol to the development of ALD. Alcohol metabolism generates harmful chemical products and byproducts and creates deleterious metabolic and physiologic conditions that make the liver more susceptible to injury. Lieber continues to play a leadership role in much of this research.Lieber and colleagues\u2019 article described the first animal model for the spectrum of progressive and advanced ALD. The baboon model offered great potential for investigations examining the biochemistry, cell biology, and molecular biology of ALD. Further research by Lieber demonstrated the following:Fibrosis surrounding a vein in the middle of a small anatomical unit of the liver signals the beginning of progressive alcoholic liver fibrosisTransformation of the liver cells that store vitamin A (hepatic stellate cells) to the cells involved in scarring (myofibroblasts) is the cellular basis of the development of alcoholic liver fibrosisThe role of acetaldehyde in stimulating production of fibrous proteins by hepatic stellate cellsThe effectiveness of using polyunsaturated lethicin as a therapy in alcoholic liver cirrhosis.Most of these findings would not have been possible without the baboon model.Although the baboon model has produced an enormous volume of new information concerning the mechanism of ALD, this model has not been reproduced by others . The pos"}
+{"text": "Research in the field of embodied cognition is occupied with a variety of research questions stemming from the idea that cognition is deeply connected with bodily aspects such as perception and action categorization in reference to the dimensions of embodied learning research that hinges upon the two dimensions bodily engagement and task integration. They define low levels of bodily engagement as tasks with only minor bodily movement that occurs while sitting (Skulmowski and Rey, incidental manipulations are said to be reliant on cues that alter cognitive variables while Skulmowski and Rey (integrated manipulations to be strongly intertwined with tasks.Skulmowski and Rey presente and Rey state inAlthough the taxonomy of Skulmowski and Rey is mainlBesides embodiment studies that are focused on tasks, others revolve around metaphor-based effects and priming (Wilson and Golonka, Lakens reviews Fay and Maner recentlyIn addition, it should be noted that some types of measures are more appropriate for embodied cognition research than others (Meier et al., In light of the current controversy surrounding the replicability of psychological science, we wish to emphasize a variety of aspects that may warrant a higher sample size or other amendments to embodied cognition study designs. One method of assessment concerns the degree of bodily engagement and the extent to which an embodiment manipulation affects how a task can be solved as described by Skulmowski and Rey . AnotherAS and GDR drafted and revised the article and approved the submitted version for publication.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "The authors are testing the hypothesis that hybridization is more common between species that are sufficiently genetically similar so that they can cross, but also genetically distinct enough to prevent homoeologous chromosome pairing and multivalent formation during meiosis in offspring, which can lead to sterility or reduced fertility in the gametes were employed for detection of hybridization. To provide a time frame for the evolutionary events, a molecular clock was calibrated using *Beast (Heled & Drummond, Artemisia.To assess genomic divergence and traces of hybridization, Leucanthemum are clearly more divergent among each other than those in Rhodanthemum. The data also showed that the diploid species of Leucantheumum carried more genomic signatures of past interspecific hybridization events than did those of Rhodanthemum. The importance of genetic divergence as a stimulus for hybridization had been proposed by Darlington (et\u00a0al., et\u00a0al., The data revealed that the diploid species of rlington , and it Leucanthemum hybridize so frequently? A map of present distribution of the genus reveals localization in many of the previous refugial areas in Europe during the Pleistocene. As Rhodanthemum southward in the Atlas mountains of Morocco would have been much less affected by Pleistocene climatic changes, and this, plus the lower genetic divergence among species, may explain the absence of polyploids in this lineage.The remaining question was why did the species of The important conclusion by"}
+{"text": "We read with interest the study by Liu and coworkers in which they have addressed the role of hemodynamics in the development of aortopathy in bicuspid aortic valve (BAV) patients between BAV and TAV patients by using a new matric integrating the magnitude and angular distribution uniformity of the local WSS vector. We however do not completely agree with their suggested direct correlation between hemodynamics and aortopathy in BAV patients. As the main issue is that only a proportion of all BAV patients develop aortopathy, whereas Liu et al. performed calculations on a whole cohort.all BAV patients, it could not select those patients with an increased risk for aortic complications. In search of predictive factors for aortopathy, several studies have searched for serological and immunohistochemical factors (Grewal et al., In search of rheologic markers, several studies revealed helical blood flow in BAV patients as compared to TAV patients, with eccentric outflow jet patterns disrupting laminar flow and flow impingement zones along the greater curvature of the ascending aorta (Girdauskas et al., Recent literature further focused on the hemodynamic influences for the different raphe positions in the BAV population. Normalized flow displacement is a reliable quantification of flow eccentricity as compared to systolic flow angle (Mahadevia et al., An obvious increase in \u03b1 smooth muscle actin positive VSMC was seen in the outer intima, whereas the inner media shows a significant decrease in expression of \u03b1 smooth muscle actin of the VSMCs (Grewal et al., We further observed a trend in transition of squamous endothelial cells in the non-jet specimen to more cuboidal endothelial cells in the jet specimen of both BAV and TAV patients. Although the 2D magnetic resonance is not appropriate to describe wall shear stress features as the flow is observed in a flat plane, we could correlate the maximum jet stream in the ascending aorta to the histopathological findings in the aortic specimen.The main limitation of the findings of the hemodynamic studies published till date is that the WSS is observed is all BAV patients. Whereas, 20\u201340% of BAV patients do not develop aortic complications, implicating that the development of aortopathy in BAV cannot be explained by hemodynamic influences alone. WSS, together with the intrinsically immature aortic media which is also seen in all BAV patients, increases the vulnerability of the ascending aorta (Grewal et al., Thus, with the currently available data, a hypothesis of WSS causing aortopathy in BAV patients is hardly sustainable without ruling out the contribution of additional genetic influences.NG: first draft of article; AG-dG: revision of article. All authors conception and design of the paper and contributed to manuscript revision, read and approved the submitted version.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "The commentary by Luyck and colleagues on our paper provides many stimulating viewpoints and interpretations of our original study on dissociable responses in the amygdala and bed nucleus of the stria terminalis in threat processing. Here, we reply to some of the points raised and while agreeing with most of the comments also provide some alternative viewpoints. We end by putting forward a research agenda for how to further investigate the roles of these regions in threat processing, with an emphasis on studying their roles in defensive action. We thank Luyck et al. for a thIn our original publication . While Luyck and colleagues\u2019 interpretation rests on a solid theoretical framework linking the BNST to temporal unpredictability , which was greater in the second sample. While this is an interesting suggestion, we would like to point out that interpretation of the differences in results between our two samples lacks solid ground without a formal statistical test demonstrating that numerical differences in the mean group response are robust relative to the variance observed within each group. A direct comparison of amygdala and BNST responses to threat anticipation and confrontation with an aversive outcome between our two samples failed to reach significance function of emotions is to invigorate the propensity of appropriate behavioral responses Frijda, . When thPhilosophers, psychologists and behavioral neuroscientists alike regard conflict between approach and avoidance motivational tendencies as central to anxiety (Kierkegaard, Finally, as described above, conflicting motivational tendencies might be central to anxiety and therefore it will be highly informative for a better understanding of clinically relevant mechanisms to include conditions of conflicting motivational tendencies in research on defensive-reactions. As opposed to the majority of previous work on defensive reactions, daily life rarely involves situations with unambiguously optimal behavioral reactions and including these conflicting motivational conditions in threat studies would thus allow more accurate modelling of pathological avoidance (Pittig et al.,"}
+{"text": "Any density gradient for the isolation of mammalian cells should ideally only expose the sedimenting particles to an increasing concentration of the gradient solute. Thus they will experience only an increasing density and viscosity, other parameters such as osmolality, pH, ionic strength and the concentration of important additives should remain as close to constant as possible. This Protocol Article describes the strategies for the dilution of OptiPrep\u2122 in order to prepare such solutions for mammalian cells."}
+{"text": "The emotional state of the learner is an important factor that must be taken into consideration during evaluating learning process and managing learning flows in computer based learning environments. This factor has a significant impact on the process of interaction between the learner and the learning environment. Enriching this type of interaction make the learning flow more dynamic based on emotional and mental responses of the learners. This approach can manage various learning flows based on learner's capabilities which lead to enhance the learning process outcome. This article provides data on learners' emotional states during their interaction with learning environment and other data that describe their learning activities and learning flows. The learning activities data is a combination of data that represents summary of learners' emotional states and data that represents the mental responses per learning session. All of emotional states data and mental responses data are used to provide the next learning level for each learner using fuzzy rules. The datasets are hosted in the Mendeley Dataset Repository . First type of data describes the features of learners\u2019 emotional states as emotional responses, while the other type of data describes the combination of data that represents summary of learners' emotional states and mental responses per learning session.The emotional response of the learner is represented by seven classes of expressions which are angry, disgust, fear, happy, neutral, sad, and surprise. While the mental response is represented by other factors which are managed by the learning environment; these factors are learner id, learning activity id, answer validity ratio, test elapsed time, current learning level, and desired learning level.answer validity ratio describes the validation degree of learner's answer to all the test questions. The test elapsed time describes the time that spent by the learner to finish a provided test. The current learning level represents the learner's learning level at the start of the learning activity. The desired learning level represents a value that is generated by a fuzzy system to redirect the learner to the next learning level based on the level and degree of emotional and mental responses of the learner.The \u2022Learners' emotional states dataset describes the learners' emotional states during their interaction with the learning environment. The description of this dataset is explained in Table 1\u2022a.Aggregated emotional states of five learners across four learning activities for each learner as shown in Fig.\u00a01b.Learning paths for five learners during their learning sessions and the impact of summarized emotional states using mean on the learning flows as shown in Fig.\u00a03Learning activities dataset using mean describes the summarized emotional states using mean and its impact on the value of the next learning level of the learner which is generated by a fuzzy system. The description of this dataset is explained in \u2022a.Aggregated emotional states of five learners across four learning activities for each learner as shown in Fig.\u00a02b.Learning paths for five learners during their learning sessions and the impact of summarized emotional states using median on the learning flows as shown Fig.\u00a04Learning activities dataset using median describes the summarized emotional states using median and its impact on the value of the next learning level of the learner which is generated by a fuzzy system. The description of this dataset is explained in The collected data are divided into three datasets 2We developed a dynamic learning environment integrated with real time facial expressions detection model using deep learning to detect the learner's facial expressions and fuzzy system to provide the learning environment with the next learning level based on learner emotional and mental responses.To test our approach we prepared a test with six levels of difficulties on English language to represent a learning curriculum to a sample group consisted of twelve volunteer people with different ages between 25 and 35 years old, and have different learning background in English language. The sample members have been selected randomly with different ages to verify our approach on different learning levels across different ages, as well to obtain different emotional responses during their interaction with our learning environment. They have participated in the collected data with 72 learning activities represent different learning flows and 1735 data rows of vary emotional states.We logged all detected facial expressions during the learning sessions except emotional states data records those total value equal to zero in order to provide a consistent and meaningful emotional states data set.In order to summarize the detected set of emotional states to provide a meaningful crisp value for each facial expression we used two different statistical methods. These statistical methods are mean and median to determine which statistical processing on the detected emotional states during the learning sessions is more accurate and realistic to prepare crisp values of emotions for the fuzzy system. The emotional states crisp values were combined with other captured factors to represent the crisp inputs to a fuzzy system to provide the next learning level which draws the learning flow."}
+{"text": "There has been increasing pressure on farmers in Europe to reduce the emissions of ammonia from their land. Due to the current financial climate in which farmers have to operate, it is important to identify ammonia control measures that can be adopted with minimum cost. The planting of trees around farmland and buildings has been identified as a potentially effective and low-cost measure to enhance ammonia recapture at a farm level and reduce long-range atmospheric transport. This work assesses experimentally what fraction of ammonia farm woodlands could potentially remove from the atmosphere. We constructed an experimental facility in southern Scotland to simulate a woodland shelterbelt planted in proximity to a small poultry unit. By measuring horizontal and vertical ammonia concentration profiles within the woodland, and comparing this to the concentration of an inert tracer (SF6) we estimate the depletion of ammonia due to dry deposition to the woodland canopy. Together with measurements of mean ammonia concentrations and throughfall fluxes of nitrogen, this information is used to provide a first estimate of the fraction of emitted ammonia that is recaptured by the woodland canopy. Analysis of these data give a lower limit of recapture of emitted ammonia, at the experimental facility, of 3%. By careful design of shelterbelt woodlands this figure could be significantly higher."}
+{"text": "OBJECTIVES/SPECIFIC AIMS: Identify the impact of the provision of clinical and translational research training awards on investigators\u2019 pursuit of clinical and translational research careers. METHODS/STUDY POPULATION: Propensity score matching and qualitative analysis/investigators receiving MICHR\u2019s KL2 research training awards. RESULTS/ANTICIPATED RESULTS: While the evaluations of the impact of this service have shown participants find them to be valuable it is expected that participation in the workshop may be more beneficial to investigators with certain types of prior research experiences and who utilize more CTSA research support. DISCUSSION/SIGNIFICANCE OF IMPACT: Because this evaluation of a research service incorporate data representing investigator\u2019s receipt of different CTSA resources, the findings can be used to inform the ongoing coordination of these services in ways that optimize their impact on the production of clinical and translational research. There is an enduring need for evaluations of CTSA programs to account for investigators\u2019 use of different constellations of research services in order to identify what combinations of services over time are most effective at fostering successful clinical and translational research careers."}
+{"text": "The authors are to be commended for adding to our fund of knowledge for this burgeoning field. Characterization of at\u2010risk elite athletes is important because of the risk of arrhythmias and consequently, sudden cardiac death as these may be preventable. A risk prediction model should be established incorporating LA volumetric and strain data from the present study, myocardial fibrosis from the imaging studies, and other established criteria. Future studies should also aim to provide a risk prediction clinical tool to decrease the arrhythmia related morbidity and mortality in elite athletes.The authors declare no potential conflict of interests."}
+{"text": "We use self-reported and behavioral data from the HomeLab to comment on the theoretical and methodological implications of integrating objective and subjective measures of experience. To illustrate, we will focus on two domains that vary in the nature of objective and subjective measurements examined. One domain will be decision making where subjective measures include subjective probability and utility and the respective objective measures include probability and actual outcomes. The second domain will be activities of daily living where the subjective measure is perceived effort and the objective measures include various data from sensor such as EDA and EMG (muscle contraction). The presentation will discuss the benefits of conducting such research in a realistic standardized context such as the HomeLab, which is a fully connected, fully functioning apartment set up as a standardized lab in order to study activities of daily living."}
+{"text": "Thirty three states have legalized marijuana for medical or recreational use. This increased access to cannabis products has heightened interest in its use among family caregivers. Clinicians anecdotally report frequent questions from families about the use of these products, but lack sound information to provide an informed response. Some studies suggest cannabis could help to manage behavioral symptoms of dementia,. No studies to date have explored marijuana or cannabis product use by caregivers for themselves or for the person with dementia. Caregivers of persons with diagnosed dementia were invited to take part in a study that included completion of a survey and participation in a focus group that explored self care practices, including the use of marijuana and cannabidiol (CBD) products for themselves and the person with dementia. Results of the survey and trends from the focus groups will be presented, with a comparison between English and Spanish speaking individuals."}
+{"text": "It is the basic step in the discovery of new drugs or studying the pharmacological actions of already developed one using both preclinical and clinical study designs in a stepwise phase of investigations. However, the investigations in the first phase of experimental pharmacology are usually concluded with assumption hypothesis without any adequate validation of the scientific evidence. Single dose acute toxicology had been conducted on Balb c mice with three different level of doses prepared from each of three different test chemicals with known median lethal dose (LDThe methods used for data collection were: procurement of test chemicals, investigation of single dose acute toxicity on Balb c mice and quantitative immunoglobulins test. Data was thematically compiled for validation of the findings from each of the sources.The result showed that the dose had never limited the toxic property of tested chemicals but the magnitude of adverse effect and length of time at which adverse effect was manifested on treated Balb c mice. The toxicity of tested chemicals was however limited by the toxic reaction rate of a dose in the biological process of exposed Balb c mice. The toxic effect of tested chemicals became magnified within a short period of time when large amount administered orally. It also remained after a long period of time when small amount administered in the same route.Adequate investigation time for acute toxicity study was therefore essential for comprehensive analysis of pharmacological property of tested chemicals at different level of doses. Experimental pharmacology is a study through experimental design in controlled situations which involves testing of pharmacologically unknown substance and pharmaceutical products in human and animal . It dealExperimental pharmacology is the basic step in the discovery of new drug or studying the pharmacological actions of already developed one using both preclinical and clinical study designs in a stepwise phase of investigations . It is aDifferent species of laboratory animals are used in experimental pharmacology to investigate dose \u2013biological response relationship and pharmacokinetic of different test substances. The laboratory animals mostly used are, Mice, Rat, Guinea pig and Rabbits . ExperimAcute toxicity is the adverse effect produced after administration of a single dose of test substance using one of the routes of drug administration within a period of not exceeding 24\u2009h . It is uAcute toxicity study is routinely conducted in experimental pharmacology as a regulatory requirement in order to avoid infiltration of harmful pharmaceutical products for public consumption . But theIf the objective of acute toxicity study in animal is to provide the primary safety data to aid in the selection of a compound for clinical development, the toxicity study should be well designed to assess dose- biological response relationship and pharmacokinetics in the treated subject through adequate length of investigation time. Clinical and histopathology need to be evaluated at the earlier and termination time of acute toxicology for adequacy of public health safety .d)Administered dose (t) for adverse effect manifestation andElapsed time (\u0394Ig)The immune response had been calculated and documented. The biological responses as toxic severity and toxic reaction rate of each doses administered to lab Balb c mice were finally determined using mathematical formula s is toxic severity, r is toxic reaction rate, d is the administered dose, t is the length of time at which adverse effect manifested and \u0394Ig is change in concentration of serum immunoglobulins at four hour after dosing. The computed result of toxic severity and toxic reaction rate were used to answer the research questions mentioned earlier which may help to define the fundamental principles in experimental pharmacology.An integrated biological approach was employed in this study to evaluate the different biological responses to test chemicals administered to Balb c mice. First, acute toxicity study was conducted in the biomedical laboratory of pharmacology and therapeutics during which the time elapsed for the manifestation of significant adverse effect on treated Balb c mice was determined and recorded in note book. The immune response had also been evaluated using quantitative immunoassay before dosing as reference test and at four hour after dosing for comparison from which changes in concentration of serum immunoglobulinsus study where s Three data collection methods were used. These were, procurement of test chemicals, investigation of single dose acute toxicity on laboratory Balb c mice and quantitative immunoglobulins test.50 [. Three different doses from each test chemicals were prepared using micropipette and stored in separate and sterile, disposable test tubes which were pre-labeled with number and concentration of test chemical. The prepared doses have been stored at room temperature until it was tested on laboratory Balb c mice.Three toxic chemicals with different LD50 , 11 were.Data collection in acute toxicology has been conducted in the biomedical laboratory of department of pharmacology and therapeutics from 14th to 28th June 2018. First, fifteen female Balb c mice at the age of 10\u2009weeks were procured from college of veterinary medicine, Makerere University and transported to the department of pharmacology and therapeutics where they have been kept in a cage by providing them food (bread and layer\u2019s mash) and water in a daily basis. Even though, the toxicity of prepared test chemicals has been planned to be evaluated on 15 Balb-c mice, six mice were attacked and killed by a rat which was escaped from its cage at night during the experiment. As a result the experiment was evaluated on nine Balb c mice by dividing them in three groups by which three mice were selected by non-probability sampling, labeled at the head, back and thigh with different colours i.e. black, blue and red and kept them in separate cages. After acclimatising them in cages under standard environmental conditions of light and dark cycles for two weeks, about 1\u2009ml of blood specimen for reference quantitative immunoglobulins test was drawn from the tail and facial veins of each Balb c mice using micro test tubes pre-labeled with number corresponding with the label of Balb c mice. After blood specimens drawn for reference quantitative immunoassay, three days have been given to all lab Balb c mice to restore normal bio-physiological state. And then, all sampled mice have been starved for overnight before weighing them and calculating the right dose. The mice from each group weighed separately using an electronic balance. First, the mouse picked from the cage by holding its tail and put in a plastic bottle with its tail off which was already measured. The weight of each mouse has been recorded in note book from which the right dose per body weight was calculated. Three different level of doses which were less than the LD50 [The calculated doses of prepared test chemicals were also measured using micropipettethe LD50 , 11 for content. Subject matters of the study were identified and organized into meaningful categories and sub\u2013categories. For comprehensiveness, data from different data collection methods was compiled to validate and complement the findings from each of the sources.The analysed data from each of the sources presented in form of tables, graphs and use of descriptive statements under the themes mentioned in the result and discussion sections.The researcher was given an introduction letter from the department of pharmacology and therapeutics, and ethical clearance from Internal Review Board of School of Biomedical Sciences, Makerere University to seek permission and conduct research. Heads of departments, where different sections of the study has been conducted, were contacted. The norms and rules of each department has been highly observed. Laboratory Balb c mice have been treated according to the universal declaration on animal welfare (UDAW) to prevent cruelty and reduce suffering .Aristolochia elegns mast but the length of time at which undesired effect was clearly manifested on treated Balb c mice [50) and effective dose (ED50) of test extracts precisely [r) and toxic severity (s) of each doses administered into Balb c mice in the oral route were calculated using mathematical formulation Doses of test chemicals prepared from Dichlorvos, Chlorpyrifos and Cypermethrin pesticides at three different level of doses had been administered into laboratory Balb c mice at 10\u2009weeks old and monitored for a maximum period of 5\u2009days. The length of time at which undesired biological effect manifested in treated Balb c mice was inversely related to the amount of dose administered in the oral route. The higher the dose of administered test chemical, the shorter the length of time at which adverse effect manifested on treated Balb c mice were developed slow respiration and hypo-activity immediately after oral administration Table .Table 5TThree Balb c mice treated with three different level of doses at 10, 50 and 90\u2009mg/kg of Chlorpyrifos pesticide were also evaluated with acute toxicity trial for five days Table . The maiThree Balb c mice treated with three different level of doses at 10, 50 and 90\u2009mg/kg of Cypermethrin pesticide developed signs and symptoms of toxicity within about 9 to 23\u2009min depending on the amount of dose administered orally Table . The BalIgG (immunoglobulin G) and IgM (immunoglobulin M) quantification tests had been conducted to evaluate the immune response against test chemicals administered to Balb c mice in the oral route. Except Balb c mice treated with the highest dose at 90\u2009mg/kg of Dichlorvos which was died at 1:36\u2009h after dosing orally, about 1\u2009ml of blood specimen had been collected from each Balb c mic using micro test tubes before treatment as reference test and at four hour after treatment for comparison Table . QuantitThe negative value of computed toxic severity and toxic reaction rate in Tables The dose literally refers to the amount of a substance, medicine or drug in the field of nutrition, medicine and toxicology respectively to be utilized at a particular time for certain biological or pharmacological purposes \u201316. The 50) and effective does (ED50) of test substance has no scientific ground to declare at a point of time that the lower dose is safe and the higher dose is unsafe for life. Even if the adverse effect of the lower dose is not significantly manifested at the organismal level within a short period of time, its adverse effect is significantly manifested at the cellular level which could cause impact on the life of an organism in the long run. In the previous study, for instance, the test extract at 500\u2009mg/kg body weight killed treated Balb c mice in the 9th day and the highest dose (5000\u2009mg/kg body weight) killed them in the 4th day after dosing orally [r) is the administered dose (d) over the length of time (t) at which signs and symptoms of adverse effect is manifested minus concentration of serum immunoglobulins change (\u0394Ig) as counter response to the toxic effect of test chemical on treated study animal [t was considered four hours at which blood specimens for immunoassay were collected after dosing. The toxic reaction rate of test chemical was higher in the higher administered dose and the shorter the length of time at which adverse effect manifested in treated Balb c mice and Vic versa. The length of time in the investigation of acute toxicology was an essential factor to determine the toxicity of a test substance. The longer the period of time at which the undesired biological effect of test substance manifested on treated organism, the smaller the dose and its toxic reaction rate.The different structure of the body of living things is the metabolic by-product of ingested dose of substances from the environment that involves different metabolic pathways in which one chemical is bio-transformed into another chemical with multiple bio-transformation mechanisms . Metaboly animal . It coul\u0394Igmg/sec. In thiss) of test chemical is the toxic reaction rate (r) over the administered dose (d) multiplied by one hundred which is expressed in percent per unit time [The toxic severity (nit time . It coul0) %/sec . The higr) indicated safety limit of test chemicals whereas the value of toxic severity (s) predicted the length of time at which adverse effect of test materials could probably be manifested on treated organism. The laboratory Balb c mice treated with the amount of dose whose toxic reaction rate was less than zero survived from death whereas those sampled Balb c mice treated with the amount of dose that had toxic reaction rate more than zero died at different length of time after treatment depending on the toxic severity of tested chemicals.During this study where the toxicological effect of three test chemicals were evaluated on Balb c mic at the age of 10\u2009weeks, the toxic reaction rate and toxic severity of each tested chemicals were calculated and recorded in different tables as presented under subsection 3.2 in the result section. The value of toxic reaction rate (r) is less than or equal to zero. This means that the administered test substance is successfully neutralized and harmonised with the biological process of treated organism. The result of toxic severity (s) of each administered doses showed that treated Balb c mice with different dose had no equal opportunity to exist in life but equal fate for death at different lifespan depending on the amount of test chemical administered orally. This means that the higher the toxic severity of test substance the shorter the lifespan of treated organism and Vice versa. At the same time, the higher the toxic reaction rate of test substance in the biology of treated organism, the higher toxic severity of test material will be which shortens the lifespan of an organism.It could be a scientific fact to declare that a test substance is safe when the value of toxic reaction rate , is most likely to have a higher risk of health problem in the long run. There is no scientific ground to categorise a single test material as safe dose (ED50) and lethal dose (LD50) at a point of time during the experiment, in other words, the lower dose could not be safe for life when the higher dose is lethal. It might not be manifested at the organismal level like does the higher dose but it could be significantly manifested at the cellular level which perhaps impact the health of treated organism in the long run. It is most likely to be a waste of time and resources to categorise a single test substance as effective dose (ED50) and lethal dose (LD50) and proceed to the next phase of preclinical trial with inadequately validated data.All the three different level of doses prepared from three different test chemicals mentioned earlier manifested the toxic effect with different magnitude at different length of time depending on the amount of dose administered in the oral route. If the higher dose kills treated organism, the lower dose which is referred to as effective dose (EDThe term immunoglobulin refers to any of a class of proteins present in the serum and cells of the immune system which function as an antibodies . ImmunogThe immune system is made up of a network of cells, tissues and organs that work together to provide protection to the organism from environmental agents such as microbes or chemicals, thereby preserving the integrity of the organism. The specific immunity is further divided into humoral immunity, the one involved with antibody, and cellular immunity, which is orchestrated by T cells . ThroughThe normal biological component of the immune system is therefore the overall indicator of the wellbeing of an organism whereas the abnormality in the immune system is the indicator of unhealthy conditions of an organism. What is going wrong in the biology of an organism is ultimately reflected as a quick counter response from the immune system that could be detected as abnormal temperature, supressed appetite, and abnormal immunoglobulin concentration in the plasma, physical and biological disintegration and many more to mention depending on the antigen detected by the immune system .When the administered test substance is absorbed and interacted with the biological system of an organism, it is not only the subjective effect but also other multiple effects that could be triggered in the body which is ultimately detected by the immune system. The administered test substance becomes harmful to the life of treated organism when the biological systems of the body has failed to neutralize and harmonise the chemical component of test substance with the molecular counter part of an organism. Thus, an integrated biological analyses in the earliest stage of preclinical trial is crucial to make adequate assessment about the general safety of test material which may help to avoid progressive trail of harmful test chemicals.The study revealed that the dose had never determined the toxicity of tested chemicals but the magnitude of adverse effect and length of time at which adverse effect manifested in treated Balb c mice. The adverse effect of tested chemicals was rather determined by the toxic reaction rate in the biological process of treated Balb c mice. Adequate length of investigation time in acute toxicology was essential to determine the toxic nature of tested chemicals at different level of doses. Finally, the three different level of doses prepared from each test chemicals disproportionately suppressed IgM depending on the amount administered orally."}
+{"text": "The central role of primary care within the field of mental health is a global phenomenon with policymakers actively encouraging primary care to take a lead role in developing and delivering mental health services.Involving patients actively in research represents a significant culture change. Public and patient involvement (PPI) describes a whole variety of ways that researchers engage with people for whom their research holds relevance. The challenge is to mainstream PPI in all aspects of research, health policy and structures going forward, which will require significant political leadership and a new overall strategy."}
+{"text": "Sir,It has been a general acceptance that early stage of diabetic kidney disease (DKD stage 1) has been underrecognized, and therapeutic prevention of the diabetic kidney disease at this stage has never happened. The significance and importance of the physiologically defensive mechanism and vascular homeostasis in the early stage of diabetic kidney disease has recently been identified . TherefoThe preceding information renders support that DKD stage 1 can be recognized in the early stage with alternative diagnostic markers than creatinine clearance. The most important issue of early recognizing DKD stage 1 is that it is the golden period for implementing the therapeutic strategy to restore the renal microvascular disease as well as renal function, inasmuch as the mechanism of vascular repair and homeostasis is still adequately functioning in this stage. Treatment at this stage has been vulnerable to correct the renal ischemia, and restore the renal function, and effectively prevent the progression toward end-stage renal disease ."}
+{"text": "Cardiovascular complications are extremely frequent in patients with chronic kidney disease (CKD) and death from cardiac causes is the most common cause of death in this particular population. Cardiovascular disease is approximately 3 times more frequent in patients with CKD than in other known cardiovascular risk groups and cardiovascular mortality is approximately 10-fold more frequent in patients on dialysis compared to the age- and sex-matched segments of the nonrenal population. Among other structural and functional factors advanced calcification of atherosclerotic plaques as well as of the arterial and venous media has been described as potentially relevant for this high cardiovascular morbidity and mortality. One potential explanation for this exceedingly high vascular calcification in animal models as well as in patients with CKD increased systemic and most importantly local (micro)inflammation that has been shown to favor the development of calcifying particles by multiple ways. Of note, local vascular upregulation of proinflammatory and proosteogenic molecules is already present at early stages of CKD and may thus be operative for vascular calcification. In addition, increased expression of costimulatory molecules and mast cells has also been documented in patients with CKD pointing to a more inflammatory and potentially less stable phenotype of coronary atherosclerotic plaques in CKD. Patients with chronic kidney disease (CKD) and chronic renal failure (CRF) develop early on in the course of the disease structural and functional alterations of the heart and the vascular tree that represent a major clinical problem in these patients. In addition, cardiovascular diseases are a major contributor to the high incidence of cardiovascular complications and particularly death from cardiovascular causes in this population , 2. AparIn addition to the cardiac alterations specific structural changes of the extracardiac arteries and veins are present which consist of vessel thickening Figures but moreAlthough the exact pathogenesis of increased vascular calcification in CKD is not fully understood there are some very plausible hypotheses and candidates: from the very beginning disturbances in the phosphorus (P) and calcium (Ca) metabolism , 26, altThe above-mentioned recent study by Viegas and coworkers more empAdvanced stages of atherosclerotic plaques particularly with plaque and vessel calcification are specific features in patients with CKD that might contribute to the high cardiovascular morbidity and mortality in these patients. Our findings of a more inflammatory phenotype of coronary atherosclerotic plaques and particularly of a potential role of MCs for advanced atherosclerosis in CKD might be particularly important in view of recent experimental findings in the animal model of the ApoE knockout mouse where ph"}
+{"text": "During the ongoing water crisis in Flint, Michigan, residents continue to express their voices in community meetings. In this study of older adults, the research team conducted participant observation of such meetings in addition to interview older adults. This presentation highlights themes of trauma and resilience as found in the collective; we illustrate the knowledge gained by researchers about the challenging environmental contexts in which study participants are navigating and how narratives that are both personal and collective co-emerge. We examine how these narratives illustrate concerns of health and wellbeing from a life course perspective and index relationships of residents to their spaces. We conclude by offering lessons learned on investigating community meetings as a way of ensuring research is \u201ccommunity based.\u201d"}
+{"text": "This symposium addresses debates around the theme of precarity and its implications for understanding social and economic changes affecting the lives of older people. To date, the concept of precarity has been applied to several subpopulations by various academic disciplines but has yet to be systematically applied to later life. The symposium will give particular attention to the extent to which the lens provided by precarity can illuminate different types of inequalities experienced through the life course and reflected in public policies directed at older people. Chris Phillipson reviews theoretical perspectives relating to precarity, examining their potential contribution for the development of critical gerontology. His paper also considers the extent to which the concept of \u2018precarious ageing\u2019 offers a competing or complementary view to theories of \u2018active\u2019 and \u2018successful ageing\u2019. Larry Polivka examines the growing precarity of life for older Americans emanating from austerity budgets and privatization of public services. The paper suggests that policies such as health care and long term care are in jeopardy, creating a glide path toward the extension of precarious employment into a precarious retirement for millions of older people. Wenxuan Huang examines how the focus on agency and other individual-level foci obscure understanding of social dynamics. Finally, Amanda Grenier draws on a scoping review of precarity to outline conceptual distinctions between frailty, vulnerability, and precarity. She presents reflections on what these concepts offer in terms of understandings of late life the study of disadvantage across the life course."}
+{"text": "The \u201caging\u201d of populations in the developed world is rapidly altering demographics and presents a number of challenges for science and medicine. Foremost among these challenges is the need to enhance the quality of life for this \u201caging\u201d majority. Paradoxically, improved prevention and treatment of diseases will only increase the number of individuals who will lose quality of life because of cognitive deficits in learning and memory. Such cognitive deficits are particularly vexing in societies where the ability to deal with information technology has become an increasing necessity. Understanding how the human brain encodes and stores information becomes critical in designing required therapeutic strategies."}
+{"text": "Vaccine clinical trials in low\u2010resource settings have unique challenges due to structural and financial inequities. Specifically, protecting participant and caregiver autonomy to participate in the research study can be a major challenge, so understanding the setting and contextual factors which influence the decision process is necessary. This study investigates the experience of caregivers consenting on behalf of paediatric participants in a malaria vaccine clinical trial where participation enables access to free, high\u2010quality medical care.II or III malaria vaccine clinical trial in Uganda, Tanzania and Kenya. Interviews were qualitative and analysed using a thematic framework analysis focusing on the embodied caregiver in the political, economic and social reality.We interviewed a total of 78 caregivers of paediatric participants previously enrolled in a phase Caregivers of participants in this study made the decision to enrol their child based on economic, social and political factors that extended beyond the trial into the community and the home. The provision of health care was the dominant reason for participation. Respondents reported how social networks, rumours, hierarchal structures, financial constraints and family dynamics affected their experience with research.The provision of medical care was a powerful motivator for participation. Caregiver choice was limited by structural constraints and scarce financial resources. The decision to participate in research extended beyond individual consent and was embedded in community and domestic hierarchies. Future research should assess other contexts to determine how the choice to participate in research is affected when free medical care is offered. Vaccines play a major role in public health and their development is dependent on clinical trial testing in human populations. Transnational clinical trials operate through collaborative partnerships that involve a wide array of stakeholders and participants from varying sociocultural backgrounds. Each stakeholder enters into clinical trial research with varying degrees of inequity linked to its role in the clinical trial and resource context Phase II and phase III vaccine clinical trials establish the safety of a vaccine and determine its efficacy This study investigates the community context, communication needs and decision\u2010making processes of the caregivers of participants in a phase II and phase III paediatric malaria vaccine clinical trial. Each of these trials operated in low\u2010resource settings in multiple African countries. The phase II vaccine trial involved GMZ2 malaria vaccine and was conducted at five clinical trial centres in four African countries The phase III RTS,S clinical trial investigated here has led to the regulatory registration and the roll\u2010out of the RTS,S vaccine in a phase IV study, making it the first licenced malaria vaccine. These phase IV studies will take place in three different countries, including the Kenyan research centres investigated here While community engagement has been recognised as necessary in ethical transnational research, there is no clear consensus as to its definitive application in different community contexts In order to better understand the experiences and decision\u2010making processes of caregivers during the paediatric malaria vaccine clinical trial, we conducted a series of in\u2010depth interviews between March 2017 and March 2018 with caregivers of children who participated in a malaria clinical trial.Interviews were held across four clinical trial sites in Uganda (Iganga), Kenya (Siaya and Kombewa) and Tanzania (Bagamoyo) with caregivers of participants. We used purposive sampling to recruit respondents and in the majority of the cases the mother was the primary caregiver. Participants were selected based on having had a child enrolled in a paediatric malaria vaccine clinical trial. Interviews were conducted until saturation was reached, were semi\u2010structured and held in the home of the respondent.The RTS,S phase III malaria vaccine trial took place between March 2009 and January 2014 in seven African countries and spanned 11 clinical trial centres This was a qualitative study that used in\u2010depth interviews to capture the perspective of the caregiver who had a child enrolled in a malaria vaccine clinical trial. The fieldwork consisted of a scoping trip to the research sites to introduce the study, recruit participants and meet with community leaders. Field visits took place in March 2017 (the scoping visit), and the interviews were conducted between May 2017 and March 2018 with the help of local research assistants. The research assistants from Tanzania were fluent in Swahili . In Uganda, all three female research assistants were fluent in Luganda and conversational in the related Lusoga language of the community investigated. In Kenya, all three research assistants were fluent in Dholuo. None of the research assistants lived in the community investigated, all were fluent in English and had post\u2010secondary education. Interviews were semi\u2010structured and had a focused discussion on the vaccine trial, leaving room to explore concepts as they emerged, such as community dimensions and domestic relationships in the context of the trial. Interviews began by asking open questions and were then funnelled into more specific questions about the respondent's views and experiences within the health system, interaction with researchers, and challenges faced in the community. The interviews were recorded with the informed consent of the respondent and conducted in the local language. They were then transcribed verbatim and translated into English by the research assistant. The interview guide was first piloted in each country and then changed and developed throughout to best explore unanticipated replies as they emerged.The study protocol, informed consent forms and interview guide were reviewed and approved by the following bodies: in Tanzania, National Health Research Ethics Review Committee for the National Institute for Medical Council (NIMR), Ifakara Health Institute IRB (IHI\u2010IRB), Tanzania Commission for Science and Technology (COSTECH); in Uganda, Uganda Council for Science and Technology (UNCST), the Makerere University School of Biomedical Sciences Higher Degrees Research and Ethics Committee (SBS\u2010HDREC); in Kenya: Strathmore University IRB (SU\u2010IRB).The analysis was based on the approach described by Strauss and Corbin 1998) 98 19. Fin\u00a0=\u00a018), Kombewa, Kenya (n\u00a0=\u00a020) and Siaya, Kenya (n\u00a0=\u00a017). Interviews lasted around 31\u00a0min on average, with the longest being 56\u00a0min and the shortest being 19\u00a0min. Seven interviews could not be included in the time calculation due to logistical limitations of the recordings.Of the 78 interviews, 23 were with parents of children enrolled in the GMZ2 Phase IIb trial in Iganga, Uganda. The remaining 55 in\u2010depth interviews were with parents of children enrolled in the RTS,S phase III study across three sites in Bagamoyo, Tanzania and is intricately connected to the political, social and economic reality that a caregiver occupies at a given time. Below, we move through these themes and discuss the role local values and beliefs play in research participation.vs. benefit communication in transnational clinical trials What is most striking about our results is the dominance of free medical care as being the prevailing motivator for participation. Limited capacity of local medical services has been raised as a challenge in transnational research when the medical services in the clinical trial significantly surpass local services the village life we are in\u2019. The respondents are embedded in communal lives where other members of the community would suggest their child was going to be killed or face the consequence of a stigmatised condition if they enrolled in the malaria vaccine clinical trial. Failing to recognise the contingency of community and individuality and to overlook the historical experiences that contributed to the generation of these beliefs can derail research studies Beyond the individual, the provision of accessible medical care was also highlighted as the trial component most highly valued by the community. Health care was framed as a community value by respondents. The political leadership which influenced community acceptance of the research suggests a locus of decision\u2010making that is communal. The leadership decided its position on the research study and then passed this approval down into the community, driven by the desire to promote the health of the children. The provision of health care within the community context in combination with the structural constraints impacts decision\u2010making structures in clinical trials and provides challenges for the consent process The final analysis of the domestic context also brought the value of healthcare provision to the forefront as the dominating motivator for trial participation. Having a sick child in the home leads to difficulties for others sharing that same domestic setting, whereas having access to health care to treat the sick child leads to greater domestic harmony. Respondents reported that enrolling in the research trial often occurred as a result of the difficulty in accessing medical care and trial enrolment has been reported to be lower in areas with better medical services joy\u2019 in the home. Having a sick child in the home can burden the relationship and make parents more likely to participate in research than when their child is healthy How parents weigh the risks and benefits of participation differed and was related to the structural constraints around healthcare access for the child rumours\u2019 by respondents and those believing them were referred to as a distant third party. Respondents repeatedly emphasised the gratitude they experienced from trial enrolment and the accompanying care. Concerns around potential adverse events outlined in the informed consent documents associated with vaccination did not come up as a significant concern during the interviews. While therapeutic misconception was also evident in some interviews, the offer of medical care overshadowed it in its ability to influence the caregiver's risk perception.The absence of risk in the interviews conducted was also of note. Sceptical beliefs or concerns were often framed as \u2018Designing vaccine clinical trials in low\u2010resource settings such that the communication of risk and benefits is done in a way that is comprehended by participants and their communities is a challenging task. Ethical design of research requires the communication of trial proceedings not to be overshadowed by the provision of free care in resource\u2010limited settings. To address this in future trials and taking the first step towards more ethical communication means placing the community at the forefront of research design Understanding and addressing the local context will reduce inequalities inherent in transnational clinical trials in low\u2010resource settings Limitations of this study include the sampling strategy, which recruited caregivers who enrolled their child and therefore would have been more likely to have a reduced risk perception due to the provision of care than caregivers who were approached and refused to enrol their child in the clinical trial. Future work investigating the perception of caregivers in the community who refused to enrol their child could shed further light on this topic. We also did not interview and male caregivers, which is indicative of the traditional caregiving roles where the mother or grandmother has the primary responsibility for the child's health.Through mapping how contextual realities interplay with the decision\u2010making process of caregivers of paediatric clinical trial participants, this study can strengthen clinical trials in low\u2010resource settings. Our work shows that individual consent in clinical trials is intricately linked with community consent and family dynamics. Based on this, future research needs to investigate how this interplay varies across contexts and the role free medical care plays in consent in these settings."}
+{"text": "The plating efficiency of neurons in culture is highly dependent on the concentration of cells used to establish the monolayer. A discontinuous iodixanol gradient permits both the production of a viable concentrated suspension of neurons and purification from other brain tissue elements. The gradient that is described in this Protocol Article is applicable to brain tissue from rat and also from human biopsy specimens."}
+{"text": "This dataset conducted a comparative analysis of sustainable construction practices of foreign and indigenous construction firms in Lagos state, Nigeria using a structured questionnaire survey. The dataset contains the level of awareness and consistency of practice of sustainable development on construction projects between the foreign and indigenous construction firms and the impact of implementing sustainable development practices. Descriptive analysis such as frequencies, percentage and mean score were used to present the quantitative data in form of tables. Further analysis of the dataset highlight the practices of indigenous and foreign construction firms in sustainable development which can be beneficial to stakeholders in environmental protection and mitigating climate change issues. Specifications TableValue of the data\u2022The dataset highlights sustainable strategies that can be implemented for creating safe construction activities which are environmentally friendly by construction firms and stakeholders \u2022The dataset is useful for policy makers in enforcing sustainable practices by construction firms.\u2022The dataset can be replicated in other sectors to understand the sustainable practices used and the level of awareness in those practices.\u2022With rising population and the needs to provide adequate housing, high waste generation by the construction needs to be curtailed. Construction clients through this dataset can set limit on waste generation through efficient sustainable development practices.\u2022Further analysis of the dataset can reveal the rationale of investing in sustainable development practices by indigenous and foreign construction firms.1The dataset presented in this context described a comparative analysis of sustainable construction practices of foreign and indigenous construction firms in Lagos state, Nigeria. The dataset gives a summary of the construction firms\u2019 information, level of awareness, consistency of practice and the impact of implementing sustainable development practices. The dataset was obtained on a firm-level basis using a primary instrument. 2The dataset was obtained from primary sources using the questionnaire instrument. The data article follows the works of previous studies in"}
+{"text": "The increase in availability of actinobacterial whole genome sequences has revealed huge numbers of specialised metabolite biosynthetic gene clusters, encoding a range of bioactive molecules such as antibiotics, antifungals, immunosuppressives and anticancer agents. Yet the majority of these clusters are not expressed under standard laboratory conditions in rich media. Emerging data from studies of specialised metabolite biosynthesis suggest that the diversity of regulatory mechanisms is greater than previously thought and these act at multiple levels, through a range of signals such as nutrient limitation, intercellular signalling and competition with other organisms. Understanding the regulation and environmental cues that lead to the production of these compounds allows us to identify the role that these compounds play in their natural habitat as well as provide tools to exploit this untapped source of specialised metabolites for therapeutic uses. Here, we provide an overview of novel regulatory mechanisms that act in physiological, global and cluster\u2010specific regulatory manners on biosynthetic pathways in Actinobacteria and consider these alongside their ecological and evolutionary implications. Streptomyces genome sequence, the genus was estimated to have the potential to produce in the region of 150,000 bioactive compounds in actinobacterial genomes that encode for the production of potentially useful metabolites which are not actively expressed under commonly used laboratory conditions. Prior to the sequencing of the first et al., et al., et al., et al., et al., et al., et al., Streptomycesantibiotic regulatory protein (SARP) protein family to be identified synthesis and the regulation of antibiotic production in actinomycetes has long been established. ppGpp is a key intracellular signalling molecule, which links nutrient starvation sensing with adaptive responses in a wide range of bacteria including actinomycetes. Under conditions of nitrogen limitation, ppGpp is synthesised by the ribosome bound protein RelA . Moreover, MtrA binds to the promoters of the streptomycetes\u2010specific cell division genes ssgA and ssgB of the particular biosynthetic gene cluster in which they are located. Traditionally in actinomycetes, this type of regulation is conducted by either transcriptional activators/repressors or two component regulatory systems sigma factors are a group of small regulatory proteins normally bound (when inactive) to a cognate membrane\u2010associated anti\u2010sigma factor. Once the appropriate inducing signal is detected, the anti\u2010sigma factor is inactivated either through modifications, conformational changes or proteolysis. This inactivation leads to the release of the ECF and enables it to be recruited by the RNA polymerase core enzyme, therefore allowing transcription initiation from ECF\u2010specific target promoters. Actinomycetes contain a large number of ECF sigma factors within their genomes compared to other bacterial groups /PKS) assembly line. The M. corallina is initiated by ppGpp synthesis (see above). This precursor is then exported, and once outside the cell, it triggers the release of the cluster specific ECF sigma factor MibX from the membrane\u2010associated anti\u2010sigma factor MibW. MibX can now activate transcription of the whole biosynthetic cluster to reach high levels of production of the fully modified and active form of microbisporicin . In this case, planosporicin itself is responsible for the release of the sigma factor to activate transcription of the biosynthetic cluster . For example, the production of a much less active precursor form of the lantibiotic microbisporicin in et al., et al., Given that the specialised metabolite producing Actinobacteria are a widely distributed group of organisms that occupy a wide range of environmental niches with an enormous repertoire of specialised metabolites, it is unsurprising that they have also evolved a vast array of mechanisms with which to coordinate and regulate the expression of molecules with adaptive function. The biosynthesis of specialised metabolites clearly has a larger evolutionary cost to the producing strain than carrying the resistance mechanism to a specialised metabolite where tens of kilobases of DNA are required to encode BGCs whereas only hundreds of bases are required for many resistance mechanisms (Traxler"}
+{"text": "The dataset contains financial indicators from the financial statements of 250 banks operating in Europe which are collated for the 2015 accounting year. First, the dataset is split into input and outputs measures. Then the preferred number of inputs and outputs in relation to the total number of data is selected according to the rule of thumb in data envelopment analysis (DEA). The dataset is related to the research article entitled \u201cRobust optimization with nonnegative decision variables: A DEA approach\u201d [1]. The dataset can be used to evaluate the performance of banks and bank efficiency under uncertainty. The nu[5,All the raw data are scaled for uniformity and to reduce round-off errors from excessively large values prior to analysis."}
+{"text": "Any density gradient for the isolation of mammalian organelles should ideally only expose the sedimenting biological particles to an increasing concentration of the gradient solute. Thus they will experience only an increasing density and viscosity, other parameters such as osmolality, pH, ionic strength and the concentration of important additives (such as EDTA and DTT) should remain as close to constant as possible. This Protocol Article describes the strategies for the dilution of OptiPrep\u2122 in order to prepare such solutions for mammalian organelles and membranes."}
+{"text": "The main objective of this survey is to present data on the perception of the influence of faculty support initiatives on efficacy of job responsibilities using six private university in Nigeria as case study. The population of the study included all faculty members of selected private universities with a total of 1912 faculty members. A sample size of 500 were selected to participate in the survey based on the outcome of the sample size determination formula suggested by Falola et al. (2016) Specification TableValue of the data\u2022University management can have insight into which of the faculty support initiatives mostly predicts efficacy of faculty responsibilities.\u2022If the data is properly analysed, it can provide a platform upon which universities take decisions that will completely restore the dignity of Nigerian Universities. See \u2022The data provided here can be used for decision making purposes.\u2022This can be used as a platform upon which management of the universities and other stakeholders in the education sector formulate policies.\u2022The questionnaire can be adopted or adapted for a similar studies.1The data presented in this study is quantitative in nature. It comprises raw statistical data on the influence of faculty support initiatives on the efficacy of job responsibilities. The study is descriptive in nature. Statistical Package for Social Sciences (SPSS) was used for the coding of the data collected. The population, sample size and response rate of questionnaire administered as well as demographic characteristics of the respondents are depicted in 2Six best private universities as ranked by National Universities Commission, and webometric ranking were selected from Southwest Nigeria. What informs the choice of the best six private universities in southwest Nigeria was because of their outstanding performance when it comes to research and innovation. The researchers wanted to find out the institutional supports given to the Academic Staff that might be responsible for their performance. Data were collected from the sample of four hundred and forty three faculty members across all the colleges with the aid of structured questionnaire designed by the researcher based on the similar studies of"}
+{"text": "The cell membrane provides a functional link between the external environment and the replicating DNA genome by using ligand-gated receptors and chemical signals to activate signaling transduction pathways. However, increasing evidence has also indicated that the phospholipid bilayer itself by altering various physical parameters serves as a sensor that regulate membrane proteins in a specific manner. Changes in thickness and/or curvature of the membrane have been shown to be induced by mechanical forces and transmitted through the transmembrane helices of several types of mechanosensitive (MS) ion channels underlying functions such as osmoregulation in bacteria and sensory processing in mammalian cells. This review focus on recent protein functional and structural data indicating that the activation of bacterial and yeast osmosensors is consistent with thickness-induced tilting changes of the transmembrane domains of these proteins. Membrane thinning in combination with curvature changes may also lead to the lateral transfer of the small lipid-anchored GTPases Ras1 and H-Ras out of lipid rafts for clustering and signaling. The modulation of signaling pathways by amphiphilic peptides and the membrane-active antibiotics colistin and Amphotericin B is also discussed. Lippa et al., has found that the periplasmic protein DsbA facilitates the oxidation of the MgrB cysteine residues blocking PhoQ/PhoP signaling activity is flanked at both the cytoplasmic and at the periplasmic side with two consecutive aromatic residues. This preferential location of aromatic Trp and Phe residues at the membrane/water interphase has been predicted to allow large movements of the TM domain perpendicular to the membrane by acting as a membrane \u201cfloat\u201d that minimizes energy costs signaling pathway in fungal cells is known to be activated under a hyperosmotic shock by the rapid loss of cell volume due to water efflux , but the two hydrophobic Ile residues that are present at the periplasmic side, are followed by a segment containing two positively charged Lys residues (KLAK). These positively charged aminoacids upstream of TM2 may be interacting with negatively groups of membrane phospholipids, potentially playing a role in modulating membrane thickness as observed for the TMs of the Ca2+-ATPase domains that are formed in model lipid membranes . In the Sho1-P120L mutant, the substitution of Pro by a hydrophobic Leu amino acid residue may enhance the interaction of any of the two positively charged lysines with the negatively lipid head groups at the membrane surface. Consequently, the TM4 helix of Sho1 may be forced to tilt with respect to the membrane normal, as it is expected to occur upon the reversal of the membrane thinning induced by the loss of turgor. Similar displacements of a TM domain by a positively charged-lipid anchor at the membrane surface has been demonstrated to play a role in the activation of mechanosensitive bacterial ion channels to fungal cells exerts an opposite effect that turgor by inducing the loss of salt and water produced via the aqueous pores formed pathway is another membrane-based signaling mechanism present in fungal cells that is capable to sense turgor pressure Levin, . Thus, mWsc and Mid2 proteins contain a large extracellular o-mannosylated serine-threonine region (STR) that is connected to a single TM domain of the TM within the bilayer, leading to a conformational change that brings the cytosolic domain closer to form functional multimers that triggering the CWI pathway activation. Consistent with the localization of the CWI pathway sensors in specific lipid rafts, it was found that the CWI pathway is activated by inhibitors of fatty acid synthase (FA), acetyl-CoA carboxylase and myriocin, an inhibitor of sphingolipid synthesis , a higher fungal species, there are two Ras isoforms (Cn Ras1 and Cn Ras2) that share overlapping functions, but also play distinct signaling roles and the cytoskeleton to regulate specific functions during cell growth and pathogenesis processes. In addition, the increasing evidence that supports the role of biophysical membrane properties in the localization of the Ras and Rho family members into specific lipid nanodomains makes it possible to define new innovative approaches for improving the therapy of fungal and cancer diseases. Efforts in this direction are driven by the remarkable progress made in the use of multiscale computer simulation approaches to understand protein dynamics and its impact on events that can be propagated over long distances such as signaling via Ras and its downstream effectors Papaleo, . HoweverThe author confirms being the sole contributor of this work and approved it for publication.The author declares that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
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+{"text": "Pieridae is a large group of butterflies which plays an important role in evolutionary biology and contains many potential pests , was discovered for the first time, which comprises the first record of the genus Belenois in China and the highest altitude record of this species.The family al pests . PieridaB.aurota is the first record of the genus Belenois from China. The specimen was collected at an altitude of about 3,000 m in Tibet Autonomous Region. Relevant details are presented for the species.The species Pieridae, which is a cosmopolitan family, includes over 1,000 species in 83 genera that is distributed in the Oriental and Australian Realms. China is a country with mega-biodiversity, with new taxa and new records of butterflies discovered nearly every year in recent times has been collected from Tibet Autonomous Region. The migration of the African colonies of this species almost every year has received lots of attention. The biology of B.aurota is also well studied. B.aurota larvae feed on plants of the family Capparidaceae, in particular the genus Capparis. Under some circumstances, the population erupts at local scale and defoliates the entire bush of Capparis; for example, in the Rwenzori National Park in Uganda, it has been a regular pest on C.decidua (Chandra 1985). The specimens collected in this contribution are the first record of the genus Belenois from China.In this contribution, a well-known migratory species Photographs of the adult were taken with an interchangeable lens digital camera Olympus E-M1 with the lens M. ZUIKO DIGITAL ED 60 mm F2.8 Macro. After removal, the abdomen was soaked in 10% potassium hydroxide solution at room temperature for about 24 hours and was dissected under a Nikon SMZ18 microscope. The genitalia preparation was photographed by a Nikon D7500 digital camera attached to the microscope. Final plates were prepared in Adobe Photoshop CC . The specimen examined is deposited in the insect collection, Department of Forest Protection, Beijing Forestry University (BFU), Beijing.1D570FA8-EC16-50B9-8F38-C650FC7A78EFType status:Other material. Occurrence: recordedBy: Sixun Ge; individualCount: 1; sex: male; lifeStage: adult; disposition: in collection; Taxon: scientificName: Belenoisaurota ; kingdom: Animalia; phylum: Arthropoda; class: Insecta; order: Lepidoptera; family: Pieridae; genus: Belenois; subgenus: Anaphaeis; specificEpithet: aurota; taxonRank: species; verbatimTaxonRank: sp.; scientificNameAuthorship: ; vernacularName: Pioneer White; taxonomicStatus: accepted; Location: country: China; stateProvince: Tibet Autonomous Region; county: Zanda County; locality: East of Diya township; verbatimElevation: 2983 m; verbatimCoordinates: 31\u00b078'83\"N, 78\u00b087'88\"E; Identification: identifiedBy: Sixun Ge; dateIdentified: 2019; Event: samplingProtocol: sweep net; year: 2019; month: 7; day: 17; habitat: Desolate valley beside the road; Record Level: basisOfRecord: PreservedSpecimenMale Belenoisaurota is found both in Asia and Africa, this species is migratory, the migration of the species in South Africa has received considerable attention in previous studies . We are more inclined to recognise this specimen as a stray butterfly based on its location \u2014 far from the known distribution area and a single record for several decades.Interestingly, although there has been no official publication of this species in China, we found a specimen labelled \u201cChina, Sichuan, Mt. Kintushan, [probably Jinfo Shan in Chongqing] (ohne Datum) [no date], ex coll. A. SCHULTE. M\u00e4nnchen [male].\u201d on a European butterfly website (B.aurota were mainly distributed in areas below 1,800 m, the highest altitude recorded for the distribution of this species being 2,400 m in Nilgiris, India (B.aurota was collected at an altitude of about 3,000 m which is the highest altitude record of this species. Colonies of an undetermined Capparis species were also found around Diya Township (Fig. Capparishimalayensis, which could be a suitable host plant for B.aurota larvae. Due to the existence of the host plant, we believe that our B.aurota specimen, collected in the Diya Township, was highly likely from a local population rather than a stray butterfly.In previous studies, the Himalayan populations of s, India . However"}
+{"text": "To determine whether location-linked anaesthesiology calculator mobile application (app) data can serve as a qualitative proxy for global surgical case volumes and therefore monitor the impact of the coronavirus disease 2019 (COVID-19) pandemic.We collected data provided by users of the mobile app \u201cAnesthesiologist\u201d during 1 October 2018\u201330 June 2020. We analysed these using RStudio and generated 7-day moving-average app use plots. We calculated country-level reductions in app use as a percentage of baseline. We obtained data on COVID-19 case counts from the European Centre for Disease Prevention and Control. We plotted changing app use and COVID-19 case counts for several countries and regions.A total of 100\u2009099 app users within 214 countries and territories provided data. We observed that app use was reduced during holidays, weekends and at night, correlating with expected fluctuations in surgical volume. We observed that the onset of the pandemic prompted substantial reductions in app use. We noted strong cross-correlation between COVID-19 case count and reductions in app use in low- and middle-income countries, but not in high-income countries. Of the 112 countries and territories with non-zero app use during baseline and during the pandemic, we calculated a median reduction in app use to 73.6% of baseline.App data provide a proxy for surgical case volumes, and can therefore be used as a real-time monitor of the impact of COVID-19 on surgical capacity. We have created a dashboard for ongoing visualization of these data, allowing policy-makers to direct resources to areas of greatest need. Many health-care systems have responded by cancelling or delaying elective surgical procedures.,\u2013Assessing the volume of global surgical care is notoriously difficult. Prior work in this area has relied on estimations based on modelling and labour-intensive retrospective analysis of data from nations where such information is routinely recorded and available.We previously developed a free anaesthesia calculator mobile application (app) for the Android platform, called Anesthesiologist.Our aim is to determine whether utilization of the app, aggregated over the large existing international user base, could serve as a real-time qualitative proxy for surgical case volume, and therefore be used to monitor the impact of, and recovery from, the COVID-19 pandemic.,,,Data collection using the app has been described in previous publications.We also queried the electronic data warehouses of the University of Washington and the Seattle Children\u2019s Hospital for aggregate surgical case counts for the period 1\u00a0October\u00a02018 to 18\u00a0April\u00a02020, a time period capturing the relevant drops in surgical case volumes associated with holidays in the USA. We used publicly available data to classify World Health Organization (WHO) regions.,We analysed raw data in R using RStudio v3.6.2 ;We performed change point detection in time-series data using the cpm package.The study was reviewed and approved by the Emory University Institutional Review Board (study no.\u00a000082571), and there is a reliance agreement in place with the University of Washington Institutional Review Board. The approval includes a waiver of written informed consent. Participants gave electronic consent anonymously before participating in any data collection. The app is a medical device that falls into the category of enforcement discretion as per the United States Food and Drug Administration.From 1 October 2018 to 30 June 2020, we collected and analysed 4\u2009827\u2009263 data points from 100\u2009099 unique users in 214 countries and territories . ApproxiBox\u00a01India: 12\u2009374; United States of America: 4259; Germany: 4092; Russian Federation: 3630; Indonesia: 3352; Italy: 3304; Mexico: 2888; Pakistan: 2844; Brazil: 2155; Poland: 2052; Turkey: 2003; Egypt: 1709; Algeria: 1679; Spain: 1625; Colombia: 1520; Malaysia: 1353; France: 1267; Ethiopia: 1249; Ukraine: 1218; Nigeria: 1204; Kenya: 1156; Romania: 1136; Philippines: 1112; Iran (Islamic Republic of): 1097; Sudan: 1085; United Republic of Tanzania: 1067; Peru: 1032; Ghana: 1031; Yemen: 1019; Portugal: 1010; Libya: 997; Iraq: 961; United Kingdom: 926; Saudi Arabia: 924; South Africa: 903; Argentina: 732; Cuba: 724; Ecuador: 720; Bangladesh: 705; Democratic Republic of the Congo: 678; Belarus: 628; Viet Nam: 614; Netherlands: 610; Afghanistan: 567; Morocco: 565; Hungary: 561; China: 535; Chile: 507; Czechia: 507; Bolivia : 505; Israel: 468; Nepal: 462; Slovenia: 453; Madagascar: 450; Australia: 446; Croatia: 437; Austria: 436; Cameroon: 434; Venezuela (Bolivarian Republic of): 434; Belgium: 420; Uzbekistan: 392; Canada: 389; Bulgaria: 386; Greece: 363; Tunisia: 360; Rwanda: 354; Serbia: 350; Myanmar: 327; Uganda: 315; Kazakhstan: 310; Switzerland: 305; Syrian Arab Republic: 298; C\u00f4te d\u2019Ivoire: 297; Dominican Republic: 295; Slovakia: 272; Sweden: 272; Thailand: 270; Jordan: 264; Somalia: 256; Republic of Korea: 245; Mali: 241; Zimbabwe: 236; United Arab Emirates: 230; Georgia: 221; Angola: 220; Bosnia and Herzegovina: 199; Burundi: 198; Lithuania: 197; Zambia: 197; Paraguay: 194; Ireland: 187; Norway: 186; Sri Lanka: 178; Azerbaijan: 175; Lao People's Democratic Republic: 173; Haiti: 161; Lebanon: 161; Kuwait: 154; Cambodia: 146; Liberia: 145; El Salvador: 144; Niger: 142; Latvia: 139; West Bank and Gaza Strip: 138; Taiwan, China: 135; North Macedonia: 130; Mauritius: 129; Papua New Guinea: 124; Chad: 120; Nicaragua: 117; Republic of Moldova: 117; Mozambique: 114; Oman: 112; Senegal: 110; Honduras: 104; Tajikistan: 98; Fiji: 97; Albania: 91; Trinidad and Tobago: 91; Burkina Faso: 90; Guatemala: 90; Turkmenistan: 89; Mongolia: 87; Japan: 85; Qatar: 84; Namibia: 81; Guinea: 78; Guyana: 76; Singapore: 76; China, Hong Kong SAR: 74; Kyrgyzstan: 74; Uruguay: 74; Panama: 73; Denmark: 72; Estonia: 71; Jamaica: 71; Finland: 69; Sierra Leone: 68; Armenia: 67; New Zealand: 67; Congo: 64; Gambia: 62; Malawi: 62; Kosovo: 56; Benin: 55; Costa Rica: 54; Mauritania: 54; Cyprus: 48; Puerto Rico: 45; South Sudan: 45; Bahrain: 39; Botswana: 38; Djibouti: 37; Lesotho: 36; Comoros: 33; Bhutan: 32; Gabon: 31; Togo: 29; Montenegro: 28; Maldives: 26; Luxembourg: 21; Belize: 20; French R\u00e9union: 19; Seychelles: 17; Suriname: 17; Bahamas: 16; Malta: 16; Sao Tome and Principe: 15; Barbados: 14; Iceland: 14; Antigua and Barbuda: 13; Central African Republic: 13; Solomon Islands: 13; Eswatini: 13; Timor-Leste: 12; Equatorial Guinea: 11; Cabo Verde: 10; Tonga: 9; Brunei Darussalam: 8; New Caledonia: 8; Guadeloupe: 7; Guinea-Bissau: 7; China, Macao SAR: 6; Tuvalu: 5; Vanuatu: 5; Aruba: 4; Martinique: 4; Monaco: 4; Anguilla: 3; Cayman Islands: 3; Kiribati: 3; Micronesia (Federated States of): 3; Saint Lucia: 3; Saint Vincent and the Grenadines: 3; American Samoa: 2; Eritrea: 2; French Polynesia: 2; Mayotte: 2; \u00c5land Islands: 1; Andorra: 1; Bermuda: 1; Cook Islands: 1; Cura\u00e7ao: 1; Dominica: 1; Faroe Islands: 1; Greenland: 1; Grenada: 1; Isle of Man: 1; Liechtenstein: 1; Palau: 1; Saint Martin (French part): 1; Samoa: 1; San Marino: 1; United States Virgin Islands: 1.App: mobile application; SAR: Special Administrative Region.Note: A small number of users (44) had country codes that were not standard ISO\u00a03166 \u03b1-2 codes, meaning that their country of origin could not be reliably determined.\u2013We demonstrate in ,We also observed an expected variation in app use by the day of the week, consistent with known data demonstrating that surgical case volumes are highest during the middle of the week and much lower over weekends (data repository).We illustrate the impacts of COVID-19 on app use in We further used this data to illustrate variability in app use relative to counts of COVID-19 cases. Overall, app use declined as COVID-19 cases increased during the study period . We founWe generated a map of the global impact of COVID-19 on app use (available in the data repository),Many people in low- and middle-income countries are already without adequate access to safe anaesthetic and surgical care at baseline.,The benefits and challenges associated with the collection of health-care data using mobile technology have been discussed in previous publications.A specific strength of our work is the practical use of the app from which data were gathered and analysed. Users download and use the app for the clinical care of patients. The app has never been advertised or its use encouraged via notifications or other mechanisms, meaning that use of the app reflects stochastic clinical care events. This same stochasticity highlights a limitation of the work, however; data from individual regions or countries with a small user base reduce the confidence we can assign to the association between app use time-series data and surgical case volume. By excluding many more high- and middle-income countries than low-income countries with zero app use during the relevant periods in our calculation of median app use reduction, we have probably underestimated the global impact of COVID-19 on surgical case volumes.Another important limitation is that the app is used primarily for the care of paediatric cases (about 75% of app uses are for patients aged 12 years and younger), and this predominance may drive greater use of the app in low- and middle-income countries where (i)\u00a0subspecialty training in paediatric anaesthesia is less prevalent compared with in high-income countries; and (ii)\u00a0as much as 50% of the population in low- and middle-income countries may be younger than 16 years. Notably, these needs in low- and middle-income countries are not trivial: 1.7 billion children lack adequate access to surgical care and an estimated 85% of children will need surgical care by the age of 16 years.Finally, we acknowledge that many factors may drive changes in patterns of app use, and hence the relationship between app use and surgical case volume for a given country or region. For example, users are more likely to consult the app during emergencies,http://globalcases.info). Longer term, our app could be combined with other data to assist with measurement of global surgical capacity as part of the Global Surgery 2030 initiative. In conclusion, we present a real-time qualitative monitor of the impact of COVID-19 on global surgical volumes, particularly in low- and middle-income countries. Combined with other information sources, our app provides governments, global health organizations and philanthropic groups access to data providing markers of recovery \u2013 or otherwise \u2013 of surgical capacity, as well as the opportunity to direct resources to the areas of greatest need. To ensure the ongoing accessibility of this information, we have developed a near real-time dashboard ("}
+{"text": "Correction to: BMC Pediatrhttps://doi.org/10.1186/s12887-017-0844-6Following the publication of article by Cauble et al. , typograThe paper lists the Deierlein equation as:The correct Deierlein equation is:The paper lists the Lingwood equation as:The correct Lingwood equation is:"}
+{"text": "Following publication of the original article , the autThe Funding section originally read:This work was funded by Grants #82070034, #81970033, #31900424, #81570026, #81670002 and #3167188 from the NSFC; Grants #2017JJ2402, #2019JJ50760 from the Hunan Natural Science Foundation; Grant #20K142 from open Foundation of Hunan College Innovation Program and Grants #2018zzts813, #2018zzts812, #2019zzts327, #2019zzts1008 from the Fundamental Research Funds for the Central Universities of Central South University.The Funding section should read:This work was funded by Grants #82070034, #81970033, #31900424, #81670002 and #31671188 from the NSFC; grants #2020JJ4776, #2020JJ4688, #2019JJ50760 from the Hunan Natural Science Foundation; grant #20K142 from open Foundation of Hunan College Innovation Program and grants #2019zzts327, #2019zzts1008 from the Fundamental Research Funds for the Central Universities of Central South University.The original article has been"}
+{"text": "Objective: This study aims the perspectives of older adults on their sexual well-being. For this purpose, a qualitative research was carried out, which analyzes older adults\u2019 perspectives on indicators of sexual well-being in Portugal and Romania. Methods: Forty seven older participants aged 65 to 91 years, were interviewed. Participants lived in the community. All the interviews went through content analysis. Results: Preliminary results of content analysis generated 5 themes for the Romanian sample: Supportive relationship ; positive financial situation ; good health ; education ; and family support ; and five themes for the Portuguese sample: Supportive relationship ; demonstration of love ; sharing joint activities ; positive attitude and good humor ; and open communication ; Conclusions: This study highlighted the perspectives of Portuguese and Romanian older adults concerning sexual well-being. For both samples, showing a supportive relationship with a partner was the more frequent theme. Keywords: Content analysis; cross-national; older adults; qualitative study; sexual well-being."}
+{"text": "The authors of \u201cTreatment Adherence and Secondary Prevention of Ischemic Stroke Among Discharged Patients Using Mobile Phone- and WeChat-Based Improvement Services: Cohort Study\u201d :e16496) noticed several errors in their published article. The following corrections have been implemented:In the Abstract, the sentence:Of the platform registry participants, 88.9% adhered to inputting information into WeChat for 8-96 weeks.Has been corrected to:Of the platform registry participants, 89.7% adhered to inputting information into WeChat for 8-96 weeks.This change does not impact the findings of the paper.The following additional changes have also been made within the manuscript. The caption of Figure 3 has been corrected from \u201cUntitled.\u201d to:Synchronous web terminal of the WeChat information platform part 1.Figure 4 was formerly captioned:Synchronous web terminal of the WeChat information platform.This has been revised to:Synchronous web terminal of the WeChat information platform part 2.Figure 6 was formerly captioned:Flowchart of the study design. PUSH: Peking University Shougang Hospital; PUTH: Peking University Third Hospital; ITT: intention-to-treat.This has been revised to:Selection bias analysis of the WeChat platform registry population. DM: diabetes mellitus; HLP: hyperlipidemia; HP: hypertension; TIA: transient ischemic attack.Figure 7 was formerly captioned:Selection bias analysis of the WeChat platform registry population. DM: diabetes mellitus; HLP: hyperlipidemia; HP: hypertension; TIA: transient ischemic attack.This has been revised to:Participants' usage of the WeChat-based modules.Figure 8 was formerly captioned:Participants' usage of the WeChat-based modules.This has been revised to:Survival functions: Kaplan-Meier analysis of the rate of endpoint events during the 1-year follow-up.Finally, Figure 9 was formerly captioned:Survival functions: Kaplan-Meier analysis of the rate of endpoint events during the 1-year follow-up.This has been revised to:Demographics of the participants with good and poor adherence.The correction will appear in the online version of the paper on the JMIR website on April 29, together with the publication of this correction notice. Because this was made after submission to PubMed, PubMed Central, and other full-text repositories, the corrected article has also been resubmitted to those repositories."}
+{"text": "There is an error in the Competing Interests statement. The correct Competing Interests statement is as follows: Co-author K. Nakayama is a co-founder and shareholder of Cyfuse Biomedical KK. and an inventor/ developer designated on the patent for the Bio-3D printer. Patent title: Method for Production of Three-Dimensional Structure of Cells; patent number: JP4517125. Patent title: Cell Structure Production Device; patent number: JP5896104. The other authors have declared that no competing interests exist. This does not alter the authors' adherence to PLOS ONE policies on sharing data and materials."}
+{"text": "Prevalence of mental health conditions, sensory impairments and physical disability in people with co-occurring intellectual disabilities and autism compared with other people: a cross-sectional total population study in Scotland. BMJ Open 2020;10:e035280. doi: 10.1136/bmjopen-2019-035280.Dunn K, Rydzewska E, Fleming M, This article was previously published with an error. The funding information in the published article was incomplete. The updated funding information is stated below:This work was supported by the UK Medical Research Council, grant number: MC_PC_17217) and the Scottish Government via the Scottish Learning Disabilities Observatory."}
+{"text": "The following information is missing from the Data Availability statement: The plasmids described in this study are available from Addgene:plasmid pBDC, Addgene ID: 135188plasmid pBDK, Addgene ID: 135190plasmid pCNA, Addgene ID: 135191plasmid pSNA, Addgene ID: 135192plasmid pSNK, Addgene ID: 135193There is an error in S2 Table(DOCX)Click here for additional data file."}
+{"text": "The online article and PDF will be updated in due course.In this research article by Dagens and colleagues (BMJ 2020;369:m1936, doi:"}
+{"text": "Metformin blunts muscle hypertrophy in response to progressive resistance exercise training in older adults: A randomized, double\u2010blind, placebo\u2010controlled, multicenter trial: The MASTERS trial. Aging Cell. 2019; 18:e13039. c mean (SD) were incorrect. The correct data is shown as follow:In Table In addition, related measures presented in Appendix S2 under Supporting Information have been updated online.The authors would like to apologize for the inconvenience caused."}
+{"text": "Correction to: BMC Infect Dis (2020) 20:897https://doi.org/10.1186/s12879-020-05605-3Following publication of the original article , the autThe incorrect caption is: \"Admission early in the epidemic versus later in the epidemic\".The correct caption is: \"Multivariate analysis of risk factors for death versus hospital discharge\".The original article has been"}
+{"text": "Scientific Reports 10.1038/s41598-019-56360-8, published online 27 December 2019Correction to: In the original version of this Article, Parastoo Mojtahed Zadeh-Ardabili and Sima Kianpour Rad were omitted as equally contributing first authors. Therefore, the below equal contribution statement has been added:\u201cThese authors contributed equally: Parastoo Mojtahed Zadeh-Ardabili and Sima Kianpour Rad.\u201dIn addition, the author contribution statement has been updated from:Designing of experiments: Abolfazl Movafagh, Parastoo Mojtahed Zadeh-Ardabili and Sima Kianpour Rad; Consultation: Abolfazl Movafagh; Experimental works: Parastoo Mojtahed Zadeh-Ardabili and Sima Kianpour Rad; Acquisition of data: Sima Kianpour Rad; Analysis and interpretation of data: Sima Kianpour Rad; Drafting of manuscript: Parastoo Mojtahed Zadeh-Ardabili, Sima Kianpour Rad and Soheila Kianpour Rad; Critical revision: Sima Kianpour Rad and Abolfazl Movafagh. All authors contributed toward data analysis, drafting and critically revising the paper, and agree to be accountable for all aspects of the work.to:Parastoo Mojtahed Zadeh-Ardabili and Sima Kianpour are considered as first authors in this publication. Designing of experiments: Abolfazl Movafagh, Parastoo Mojtahed Zadeh-Ardabili and Sima Kianpour Rad; Consultation: Abolfazl Movafagh; Experimental works: Parastoo Mojtahed Zadeh-Ardabili and Sima Kianpour Rad; Acquisition of data: Sima Kianpour Rad; Analysis and interpretation of data: Sima Kianpour Rad; Drafting of manuscript: Parastoo Mojtahed Zadeh-Ardabili, Sima Kianpour Rad and Soheila Kianpour Rad; Critical revision: Sima Kianpour Rad and Abolfazl Movafagh. All authors contributed toward data analysis, drafting and critically revising the paper, and agree to be accountable for all aspects of the work.These errors have now been corrected in the PDF and HTML versions of the paper."}
+{"text": "The online version has been amended.This paper by Weedon and colleagues (BMJ 2021;372:n214, doi:"}
+{"text": "Additionally, focal mechanism solutions of the main Mw 6.5 and its biggest triggered aftershock Mw 5.2 events were acquired. Such datasets could provide a basis for further seismology analysis, including seismic tomography, source mechanism analysis, and further seismic hazard analysis in the Ambon and Seram islands. This paper and its dataset are a companion for a published article in the Tectonophysics under the title \u201cSource Mechanism and Triggered Large Aftershocks of the Mw 6.5 Ambon, Indonesia Earthquake\u201d This article presents earthquake catalogs of the 2019 Ambon aftershocks compiled from regional the Agency for Meteorology, Climatology, and Geophysics of Indonesia (BMKG) and local seismic networks deployed in The second sheet includes the velocity model used in locating the aftershocks in The first dataset contains station coordinates and velocity model for determining the hypocenter location of 2019 Ambon aftershocks. This is a Microsoft Excel worksheet consisting of two sheets. The first sheet contains the coordinates of the eleven local seismographic stations used for monitoring the 2019 Ambon aftershocks A: YEAR; B: MONTH; C: DAY: date type variables indicating the date for each earthquake.D: HOUR; E: MINUTE; F: SECOND: date type variables indicating the time for each earthquake.G: LONGITUDE; H: LATITUDE: double type variables indicating the location (longitude and latitude) for each event.I: DEPTH: double type variable indicating the depth of each individual earthquake.J: MAGNITUDE: double type variables indicating the reported magnitudes for the included earthquakes. The type of the magnitude is ML for regional BMKG catalog K,L,M: UNCERTAINTY: double type variables indicating the calculated uncertainty for each event. This information is only available for aftershock catalog determined using local seismic network The second Microsoft Excel file in the Mendeley Data repository includes earthquake catalogs of 2019 Ambon aftershocks. The files contain a total of 1009 and 1764 earthquakes taken from BMKG catalog A\u2013I: similar with the format of the aftershock catalog mentioned earlier.J: MAGNITUDE: double type variable indicating the final considered moment magnitude for each earthquake included.K: Strike 1; L: Dip 1; M: Rake 1; N: Strike 2; O: Dip 2; P: Rake 2: these columns represent the two nodal planes for the focal mechanism solution for each earthquake; each column contains a number for each mentioned individual parameter .Q: SOURCE: string variables indicating the source of the focal solutions.The third file in the repository is the focal mechanism of the 2019 Ambon aftershock main event and its biggest M 5.2 triggered event. The focal solutions of the main M 6.5 event were taken from Global CMT http://ds.iris.edu/ds/nodes/dmc) under the network codes II, IU, G, IC, dan RM. This file consists of two tables, i.e. represent each focal solution plane. Each table consists of four columns: X and Y location, seismic moments, and rake of each node. The header describes the reference point (X=0 km and Y=0 km) used in the inversion scheme.The fourth Microsoft Excel file is the slip model of the main 2019 Ambon earthquake derived using teleseismic data. The teleseismic dataset of the M 6.5 event was gathered from the Incorporated Research Institutions for Seismology (IRIS) Data Management Center (DMC) (2o and 128.60o and latitudes between \u22123.70o and \u22123.30o and occurred between October 18th to December 15th, 2019 were considered during the dataset compilation. During this monitoring period, 1009 and 1764 events were compiled from the BMKG 2019 Ambon aftershocks located in the spatial region spanning longitudes between 128.15Focal mechanism solutions of the 2019 Ambon main event and its largest M 5.2 triggered event were obtained from gCMT The related article has been submitted to the Tectonophysics under the title \u201cSource Mechanism and Triggered Large Aftershocks of the Mw 6.5 Ambon, Indonesia Earthquake\u201d.DPS, ADN, AM, AAR and SR: Conceptualization, Methodology, Software; ZZ, SW, NTP and AP: Writing-Original draft preparation; AL, DK, AA, YH and AWB: Visualization, Software and Validation; HAS: Software, Slip Model.The authors declare that they have no known competing financial interests or personal relationships which have or could be perceived to have influenced the work reported in this article."}
+{"text": "Coleoptera: Cucujidae) is a small insect family with only about 70 species. Most of the species are distributed in Holarctic, Oriental and/or Australasian realms, while in South America, only six species have been recorded, including a single one known from Peru.The flat bark beetles and Cusco and Jun\u00edn (P.nicaraguae) Regions of Peru, based, in part, on data collected through the iNaturalist citizen science database. Habitats of both species are presented in photographs for the first time. A country-level checklist to Cucujidae species currently known from South America is provided.Two cucujid beetle species, Coleoptera: Cucujidae) form a small insect family which includes five genera and almost 70 species and is distributed worldwide, except for Africa, Antarctica, most of the oceanic islands and the greater part of the Arctic fall within the tropical and subtropical climatic zones, with a mainly temperate climate in the southern regions. The western part of the continent is characteristically arid , while a cold, polar climate is present only in southern regions of Argentina and Chile . As a coPalaestesabruptus from Peru in a photo published on the iNaturalist website . The iNaturalist site allows observers from around the world to post images of organisms on the website, while others provide identifications. Although the observer of the Palaestesabruptus photograph was unable to send the material for study, he provided information that allowed RJ to contact Mr. Pavel Udovichenko, an insect dealer in Russia, who had additional material of this species. Subsequently, two male specimens were received from this seller. Moreover, Mr. Andrey Azarov sent us a pair of Palaestesnicaraguae adults for study. These specimens are currently deposited in the first author\u2019s collection (RJC). Three further specimens from Peru were examined by JM from loan material from the Florida State Collection of Arthropods, Gainesville, Florida, USA (FSCA), provided by the late Michael Thomas.This project was prompted from viewing a single male The specimens examined in this study were identified, based on the original species descriptions and by cSharp, 189964FD53F4-FE8A-5EB8-8A94-53CE3A5B658EType status:Other material. Occurrence: sex: 2 males; lifeStage: adult; Taxon: higherClassification: Animalia; Arthropoda; Insecta; Coleoptera; Cucujidae' Palaestes; kingdom: Animalia; phylum: Arthropoda; class: Insecta; order: Coleoptera; family: Cucujidae; genus: Palaestes; specificEpithet: abruptus; Location: higherGeography: South America; Peru; Pasco Region; Oxapampa Province; Pozuzo District; Pozuzo; continent: South America; country: Peru; countryCode: PE; stateProvince: Pasco Region; county: Oxapampa Province; municipality: Pozuzo District; locality: Pozuzo; verbatimElevation: 750-1430 m; Identification: identifiedBy: Radomir Jasku\u0142a; dateIdentified: 2020-12; identificationReferences: Sharp 1899; identificationRemarks: Pictures of type material were used to confirm identification; Event: eventDate: 2019-11; year: 2019; month: 11; habitat: mountain rain forest; eventRemarks: col. Alexander Sokolov; Record Level: collectionID: RJC ; ownerInstitutionCode: RJC/CUC-0008; RJC/CUC-0009; basisOfRecord: PreservedSpecimenSmall beetles with strongly flattened bodies; body length (measured from the top of clypeus to the end of elytra) of two studied Peruvian males: 14.7 mm ; ownerInstitutionCode: RJC/CUC-0010; RJC/CUC-0011; basisOfRecord: PreservedSpecimenType status:Other material. Occurrence: sex: male; lifeStage: adult; associatedOccurrences: NCBI BioSample ID: SAMN10963593; associatedSequences: MK614522GenBank: No. ; Taxon: kingdom: Animalia; phylum: Arthropoda; class: Insecta; order: Coleoptera; family: Cucujidae; genus: Palaestes; specificEpithet: nicaraguae; Location: higherGeography: South America; Peru; Cusco Region; Sancurtambo; Santa Isabel; Cosnipata [Kos\u00f1ipata] Valley Rain Forest Alt. 5525 ft.; continent: South America; country: Peru; countryCode: PE; stateProvince: Cusco Region; locality: Cosnipata [Kos\u00f1ipata] Valley Rain Forest Alt. 5525 ft.; Identification: identifiedBy: Mengjie Jin; dateIdentified: 2019; identificationReferences: Sharp 1899; identificationRemarks: Pictures of type material were used to confirm identification; Event: eventDate: 1951-12-14; year: 1951; month: 12; day: 14; eventRemarks: col. F Woytkowski; Record Level: collectionID: FSCA ; basisOfRecord: PreservedSpecimenType status:Other material. Occurrence: sex: male; lifeStage: adult; Taxon: higherClassification: Animalia; Arthropoda; Insecta; Coleoptera; Cucujidae' Palaestes; kingdom: Animalia; phylum: Arthropoda; class: Insecta; order: Coleoptera; family: Cucujidae; genus: Palaestes; specificEpithet: nicaraguae; Location: higherGeography: South America; Peru; Cusco Region; Sancurtambo; Santa Isabel; Cosnipata [Kos\u00f1ipata] Valley Rain Forest Alt. 5525 ft.; continent: South America; country: Peru; countryCode: PE; stateProvince: Cusco Region; locality: Cosnipata [Kos\u00f1ipata] Valley Rain Forest Alt. 5525 ft.; Identification: identifiedBy: Mengjie Jin; dateIdentified: 2019; identificationReferences: Sharp 1899; identificationRemarks: Pictures of type material were used to confirm identification; Event: eventDate: 1951-12-14; year: 1951; month: 12; day: 14; eventRemarks: col. H. L. Dozier; Record Level: collectionID: FSCA ; basisOfRecord: PreservedSpecimeType status:Other material. Occurrence: sex: female [genitalia dissected]; lifeStage: adult; Taxon: higherClassification: Animalia; Arthropoda; Insecta; Coleoptera; Cucujidae' Palaestes; kingdom: Animalia; phylum: Arthropoda; class: Insecta; order: Coleoptera; family: Cucujidae; genus: Palaestes; specificEpithet: nicaraguae; Location: higherGeography: South America; Peru; Cusco Region; Quiroz; Rio Paucartambo; continent: South America; country: Peru; countryCode: PE; stateProvince: Cusco Region; locality: Quiroz, Rio Paucartambo; Identification: identifiedBy: John W.M. Marris; dateIdentified: 2020-12; identificationReferences: Sharp 1899; identificationRemarks: Pictures of type material were used to confirm identification; Event: eventDate: 1933-11-23; year: 1933; month: 11; day: 23; Record Level: collectionID: FSCA ; basisOfRecord: PreservedSpecimenSmall beetles with strongly flattened bodies; body length (measured from the top of clypeus to the end of elytra) from 10.2 mm . The specimens from Peru share the following distinctive characteristics: head, mandibles and prothorax orange-brown, scutellum orange-brown, legs with femorae orange-brown and tibiae and tarsi black, tarsal claws brown-orange and elytra with black colouration extending apically from about the basal 1/3 to 2/5. The only notable difference is that, in the specimens from Peru, the antennomeres dark brown to black, except for the last two apical segmenta, which are red-brown. In contrast, the holotype has three apical segments that are red-brown.The Peruvian specimens match closely with the holotype of Previously, this species was known only from Nicaragua . The locP.abruptus, the larvae and adults of P.nicarague are presumed to live under the bark of dead trees, where they most probably prey on small insects and larvae. There are no published accounts of the ecology and biology specifically for P.nicaraguae.As noted for Coleoptera: Cucujidae) of South America has never been intensively studied and only a few papers have focused on the insect family in South America. For Palaestes Perty, 1830, original species descriptions were provided by P.freyreissi (described as Cucujus), by P.bicolor, by P.mandibularis and P.freyersi (both noted as Cucujus) and by P.dejeani (described as Cucujus) from Brazil , one from Venezuela and one from Ecuador (T.macclarini). Two species of Palaestes: P.nigriceps Waterhouse, 1880 and P.tenuicornis Waterhouse, 1880, were erroneously recorded from Peru by loci typici (and the only currently known locations) for these species are in Ecuador, from Chiguinda and Sarayacu [Sarayaku], respectively, as stated by Palaestes) and three species of Cucujidae in Peru, but later stated that only P.tenuicornis was present. P.nigriceps from Peru by P.tenuicornis. They also recorded P.freyreissi and P.nigriceps from South America, but absent from Peru (P.freyreissi are published in the GBIF database (www.gbif.org).The flat bark beetle fauna ( [1827]) and by Wrom Peru . In addiP.abruptus and P.nicaraguae from South America, as well as the first confirmed data for the genus Palaestes from Peru. Discovery of one of these species was possible thanks to the data collected through the iNaturalist database, which confirms the high value of citizen science in studying biodiversity. Summarising all data mentioned above, we can conclude that the flat bark beetle fauna of South America comprises one subfamily (Platisinae), two genera and at least eight species has not been recorded from Brazil for almost one hundred years.This paper provides the first records of es Table , Fig. 5.Cucujidae in South America and for the genus Palaestes over its wider distributional range . Most of the published distribution information for Palaestes is from the original species descriptions, the most recent of which dates back to 1899. Since that time, the only publications discussing Palaestes were reliant on the same locality data as given in the descriptions . It is highly likely that further, targeted collecting in appropriate habitats will yield new taxa. This likelihood is emphasised by the recent discovery (the first specimen was collected in 1997) and description of the new genus, Thesaurus, with three new species from South America. It is remarkable that, despite more than 220 years of collecting on the continent, these relatively large and distinctive beetles had evaded discovery. Similarly, the state of taxonomy of Palaestes species is overdue for revision and there are no keys or modern identification aids available for the genus. The identifications of the two species recorded here are based solely on the original descriptions and photographs of the type material. Examination of existing collection material and detailed, critical analysis of the genus will likely show that new species are present. Both species, recorded here, have been identified as species otherwise known only from localities in Central America, separated by more than 2000 km in a straight line and crossing major geographical barriers. Hopefully, with more emphasis given to surveying for these beetles across Central and South America, more will be revealed about the ecology and biology of both the larvae and adults, as well as providing more information on the range of these distinctive and remarkable beetles.The two new species records, reported here, highlight the poor state of knowledge of ons viz. . Various"}
+{"text": "The family Tortricidae includes approximately 11,500 species of small moths, many of which are economically important pests worldwide. A large number of tortricid species have been inadvertently introduced into North America from Eurasia, and many have the potential to inflict considerable negative economic and ecological impacts. Because native species behave differently than introduced species, it is critical to distinguish between the two. Unfortunately, this can be a difficult task. In the past, many tortricids discovered in North America were assumed to be the same as their Eurasian counterparts, i.e., Holarctic. Using DNA sequence data, morphological characters, food plants, and historical records, we analyzed the origin of 151 species of Tortricidae present in North America. The results indicate that the number of Holarctic species has been overestimated by at least 20%. We also determined that the number of introduced tortricids in North America is unexpectedly high compared other families, with tortricids accounting for approximately 23\u201330% of the total number of moth and butterfly species introduced to North America. This suggests that introduced tortricids have a greater potential of becoming economically important pests than moths in other families, and why distinguishing Holarctic from introduced species is critical to American agriculture.Acleris ferrumixtana , stat. rev.; Acleris viburnana , stat. rev.; Acleris pulverosana , stat. rev.; Acleris placidana , stat. rev.; Lobesia spiraeae , stat. rev.; and Epiblema arctica Miller, 1985, stat. rev. Cydia saltitans , stat. rev., is determined to be the valid name for the \u201cjumping bean moth,\u201d and Phiaris glaciana , comb. n., is placed in a new genus. We determine that the number of Holarctic species has been overestimated by at least 20% in the past, and that the overall number of introduced species in North America is unexpectedly high, with Tortricidae accounting for approximately 23\u201330% of the total number of Lepidoptera species introduced to North America.In support of a comprehensive update to the checklist of the moths of North America, we attempt to determine the status of 151 species of Tortricidae present in North America that may be Holarctic, introduced, or sibling species of their European counterparts. Discovering the natural distributions of these taxa is often difficult, if not impossible, but several criteria can be applied to determine if a species that is present in both Europe and North America is natively Holarctic, introduced, or represented by different but closely related species on each continent. We use DNA barcodes (when available), morphology, host plants, and historical records (literature and museum specimens) to make these assessments and propose several taxonomic changes, as well as future areas of research. The following taxa are raised from synonymy to species status: Lymantria dispar , Erebidae) being among the most notorious. Examples of important lepidopteran pests that have been introduced recently to new regions around the globe include the fall armyworm, Spodoptera frugiperda (J. E. Smith) (Noctuidae), a native of the New World that has spread to much of Africa and Asia ), a native of Europe that was inadvertently introduced to the wine-growing regions of Argentina, Chile, and California )DNA barcode sequences were obtained from BOLD. All records for a particular taxon, usually at the genus level, were selected with the option \u201cinclude Public\u201d records. Records were filtered to exclude contaminants, records with stop codons, and records flagged as misidentifications or errors. Only sequences \u2265400 bp were used because of random alignment issues with shorter sequences. Sequences were aligned in BOLD using the BOLD amino acid-based HMM Aligner, and neighbor-joining trees were constructed in BOLD using the Kimura 2 Parameter (K2P) distance model.The \u201crevised status\u201d of each taxon was determined by examining how the specimens clustered in the distance tree, the identity and origin of the specimens, the specimens themselves , the relevant literature, and additional statistics in BOLD. In many cases, the average and maximum p-distance for each of BOLD\u2019s Barcode Index Numbers (BINs) and the p-distance between the nearest neighbors were examined; these are reported in the results when relevant. We did not use a specific percentage cut-off for species delimitation. We also did not rely exclusively on BOLD\u2019s BIN assignments, although in most cases, the placement of more than one taxon in a single BIN or the splitting of one taxon into multiple BINs did indicate there was an issue, either with the taxonomy or identifications. In some cases, the DNA data was completely ambiguous, either due to a lack of data, too many potential misidentifications, or the apparent sharing of DNA barcodes across multiple taxa.Each of the following species accounts includes five components: (1) the previously concluded status of the species with regards to its biogeographic origin (\u201cPrevious status\u201d), usually as listed in Pohl et al. ; (2) ourFamily TORTRICIDAESubfamily TORTRICINAEAcleris forsskaleana Previous status: Introduced from EuropeRevised status: No changeSupported by DNA in BOLD: YesBINs: BOLD:AAA8796A. forsskaleana group into a single BIN (BOLD:AAA8796) with representatives from North America and Europe . Many of the specimens from both continents share identical barcodes. Acleris forsskaleana was first recorded from North America by Klots pattern or genitalia between the two. DNA barcodes indicate that C. cespitana is not present in North America. It is not known if North American C. cespitana and O. baccatana in BIN BOLD:AAA7669 are indeed the same species or if barcodes are not sufficient to separate taxa in this group. If they are synonyms, C. instrutana would be the senior name, with Sericoris poana Zeller, 1875 being an additional junior synonym.Heinrich synonymiArgyroploce aquilonana Karvonen, 1932Previous status: HolarcticRevised status: No changeSupported by DNA in BOLD: YesBINs: BOLD:AAB9941A. aquilonana, with specimens from Canada , Greenland, and Finland. Jalava and Miller [Olethreutes aquilonanus) from the Ogilvie Mountains in the Yukon, which was the first North American record. They also synonymized this taxon with Olethreutes kononenkoi, extending the distribution of A. aquilonana into Russia. Nedoshivina [There is a single BIN (BOLD:AAB9941) in BOLD representing d Miller reportedoshivina records Argyroploce externa Previous status: HolarcticRevised status: No changeSupported by DNA in BOLD: YesBINs: BOLD:AAI3239A. externa are placed in a single BIN (BOLD:AAI3239) with representatives from Europe and Canada . Jalava and Miller [Olethreutes dalecarlianus\u201d in North America, from the Ogilvie Mountains in the Yukon and Wellington, British Columbia. This name was synonymized under the Palearctic Argyroploce externa by Nedoshivina [Specimens of d Miller reportedoshivina , making Hedya atropunctana Previous status: HolarcticRevised status: No changeSupported by DNA in BOLD: YesBINs: BOLD:ABZ7645H. atropunctana are placed in a single BIN (BOLD:ABZ7645) that includes specimens from Europe and a single specimen from Alaska. Jalava and Miller [Hedya atropunctana (which was previously placed in Metendothenia).In BOLD, sequences of d Miller reportedd Miller lists mad Miller reviewedHedya ochroleucana Previous status: Holarctic Revised status:Hedya ochroleucana ; North American cryptic spp. (Nearctic)Supported by DNA in BOLD: YesBINs: BOLD:AAC0586 (Europe); BOLD:ACE9334 (British Columbia); BOLD:AAC0585 H. ochroleucana are placed in three BINs in BOLD: BOLD:AAC0586 contains specimens from Europe , and the other two BINs contain specimens from North America. The North American BINs are separated by 3.10% (p-dist), and both are separated from the European BIN by 7.35% (p-dist).Specimens of Hedya ochroleucana was described from Germany. DNA barcode data indicate that it is Palearctic, and that specimens identified as this species from North America represent different taxa. Three closely related taxa, currently considered synonyms, are described from North America: nimbatana Clemens, 1860, from Massachusetts; contrariana Walker, 1863, from Nova Scotia; and consanguinana Walsingham, 1879, from California. It is uncertain whether these North American names are indeed all synonyms, or to which of the North American BINs the names should be applied.Hedya nubiferana Previous status: Introduced from EuropeRevised status: No changeSupported by DNA in BOLD: YesBINs: BOLD:AAA4552A single BIN (BOLD:AAA4552) in BOLD contains nearly 100 specimens from the U.S., Canada, and Europe. The majority of specimens share a single identical barcode. This species was first reported from North America in 1913 from Nova Scotia and in 1914 from British Columbia . It is cHedya salicella Previous status: Introduced from EuropeRevised status: No changeSupported by DNA in BOLD: No (no specimens from North America in BOLD)BINs: BOLD:AAD6484H. salicella (BOLD:AAD6484), represented only by specimens from Europe . Sabourin et al. [BOLD contains a single BIN with sequences of n et al. reportedAncylis comptana Previous status: HolarcticRevised status:Ancylis comptana ; North American cryptic sp. (Nearctic)Supported by DNA in BOLD: YesBINs: BOLD:AAB2712 (North America); BOLD:AAB2713 ; BOLD:ABX5131 ; BOLD:ADI5033 A. comptana are placed in four main BINs in BOLD; there are other single specimens placed in other BINs that are likely misidentified. BOLD:AAB2712 contains specimens from the U.S. and Canada . The other three BINs contain specimens from Europe: BOLD:AAB2713 Austria, Finland, Italy, United Kingdom); BOLD:ABX5131 ; and BOLD:ADI5033 .Specimens of Ancylis comptana was described from Germany. Although the European representatives of this species in BOLD fall into three separate BINs, these form a single cluster separate from the North American BIN. Thus, it appears that A. comptana is restricted to the Palearctic, and there is a separate unrecognized species in North America. Numerous junior synonyms of A. comptana from North America are currently associated incorrectly with that species, and it is likely that one of these would apply to the Nearctic populations . However, more extensive research is needed to determine the taxonomic status of this group in North America and to examine the multiple BINs in Europe. Ancylis are notoriously difficult to identify, and there are many serious taxonomic issues to resolve in this genus.Ancylis unguicella Previous status: HolarcticRevised status: No changeSupported by DNA in BOLD: YesBINs: BOLD:AAB3498Ancylis. They determined that A. unguicella is Holarctic, with a distribution that includes Western Europe east to Siberia and Japan in the Palearctic, and from Alaska and British Columbia east to Ontario and south to Colorado in the Nearctic [The BIN assignment listed here is from Gilligan et al. , who resNearctic .Ancylis uncella Previous status: Holarctic Revised status: No changeSupported by DNA in BOLD: YesBINs: BOLD:AAA7191A. uncella is from Gilligan et al. [Ancylis uncella was previously thought to be a Palearctic taxon, but Gilligan et al. [A. carbonana, making it Holarctic. This species is distributed from Europe east to Siberia and Japan in the Palearctic and across southern Canada and the northeastern U.S. in the Nearctic [The BIN assignment for n et al. , who resn et al. determinNearctic .Eucosmomorpha albersana Previous status: Palearctic Revised status: PalearcticSupported by DNA in BOLD: YesBINs: BOLD:AAF2360E. albersana in BOLD are placed in a single BIN (BOLD:AAF2360) representing Austria, Finland, Germany, The Netherlands, and Norway. This species was included by Pohl et al. [E. nearctica. We are unaware of any valid records of the European E. albersana from North America.Sequences of l et al. as introl et al. ,128, Mill et al. subsequeEnarmonia formosana Previous status: Introduced from EurasiaRevised status: No changeSupported by DNA in BOLD: YesBINs: BOLD:AAC5227Enarmonia formosana sequences are placed in a single BIN in BOLD (BOLD:AAC5227), which contains specimens from the U.S., Canada, and Europe. Enarmonia formosana is widely distributed from Western Europe and northern Africa to Asia Minor, Russia, and Siberia [ Siberia . The fir Siberia ; it was Siberia . The \u201cch Siberia .Rhyacionia buoliana Previous status: Introduced from EuropeRevised status: No changeSupported by DNA in BOLD: YesBINs: BOLD:AAD1611 ; BOLD:ACE8290 (France and Spain)R. buoliana are placed in two BINs. BOLD:AAD1611 contains specimens from Europe , Canada (Ontario), and the U.S. (Maryland). BOLD:ACE8290 contains specimens from France and Spain. These BINs form a single cluster and are less than 1% (p-dist) different, indicating that they represent a single species.Specimens of Rhyacionia buoliana was first recorded in North America in 1913 in New York [New York . It was New York . The \u201cEuNew York .Spilonota ocellana Previous status: Introduced from EurasiaRevised status: No change; possible cryptic species in CanadaSupported by DNA in BOLD: YesBINs: BOLD:ABZ4399 ; BOLD:AAA6641 (Canada)S. ocellana in BOLD are placed in two BINs: BOLD:ABZ4399, with specimens from Europe and North America, and BOLD:AAA6641, with specimens from Canada . It is not known if this second BIN represents a possible cryptic species or genetic variation.Sequences of Spilonota ocellana was introduced to the Nearctic likely before 1840, with the first report from Massachusetts in 1841 [ in 1841 . It beca in 1841 . This is in 1841 .Spilonota laricana Previous status: Introduced from EuropeRevised status: No change; possible cryptic species in EuropeSupported by DNA in BOLD: YesBINs: BOLD:AAA7738 ; BOLD:AAA7739 (Finland)S. laricana are placed in two BINs in BOLD: BOLD:AAA7738 contains specimens from Europe and Canada , while BOLD:AAA7739 contains specimens from Finland. These BINs are separated by 4.1% (p-dist).Sequences of S. ocellana [Historical records of this species in North America likely refer to ocellana ; thus itEucosma cana Previous status: Palearctic Revised status: Holarctic or Introduced?Supported by DNA in BOLD: YesBINs: BOLD:AAB4296E. cana in BOLD are placed in a single BIN (BOLD:AAB4296) with representatives from Europe and Canada, which includes records from Cape Breton Highlands National Park in Nova Scotia, Sable Island National Park in Nova Scotia, Forillon National Park in Quebec, and Gros Morne National Park in Newfoundland. Records from Canada date back to as early as 2009. This is the first report of E. cana in North America.Specimens of Eucosma hohenwartiana Previous status: HolarcticRevised status: No changeSupported by DNA in BOLD: No (no specimens from North America in BOLD)BINs: BOLD:AAB4295E. hohenwartiana in BOLD are placed in a single BIN (BOLD:AAB4295), with all of the specimens from Europe. Ferris et al. [Sequences of s et al. recordeds et al. were unaPelochrista adamantana Previous status: HolarcticRevised status: NearcticSupported by DNA in BOLD: YesBINs: BOLD:AAF2211P. adamantana with sequence data in BOLD are from the U.S., and are placed in a single BIN (BOLD:AAF2211). This species has been listed as potentially Holarctic in some checklists because of the statement in the original description that it was described from \u201cex Lapponia (?),\u201d which could refer to Lapland in Finland. However, it has been excluded from European checklists since Rebel [The three specimens of ce Rebel determince Rebel appendedce Rebel were unaPelochrista medullana Previous status: Introduced from EuropeRevised status: Not established in North AmericaSupported by DNA in BOLD: No (misidentifications and/or DNA barcodes do not separate species)BINs: BOLD:AAE7175P. medullana are placed in a single BIN (BOLD:AAE7175), along with specimens identified mostly as P. caecimaculana and a few other Pelochrista species from Europe. It is likely that the mixed species assignments to this BIN are the result of misidentifications. Pelochrista medullana was introduced into western North America for the biological control of Centaurea species (knapweed). This species was released in Idaho, Montana, Oregon, and British Columbia, but there is no evidence that it established in these locations [In BOLD, two specimens labeled as ocations ,136.Epiblema simploniana Previous status: HolarcticRevised status:Epiblema simploniana ; Epiblema arctica Miller, 1985, stat. rev. (Nearctic); other potential cryptic speciesSupported by DNA in BOLD: YesBINs: BOLD:ACO4599 ; BOLD:ACO4600 ; BOLD:AAF2136 ; BOLD:AAF2135 ; BOLD:ACJ7207 E. simploniana and its former junior synonym, E. arctica, are placed in five different BINs in BOLD: BOLD:ACO4599 contains specimens identified as E. arctica from the Ogilvie Mountains in the Yukon Territory, Canada; BOLD:ACO4600 contains specimens identified as E. arctica from the British Mountains in northwestern Yukon; BOLD:AAF2136 contains specimens identified as E. simploniana from Finland and Norway; BOLD:AAF2135 contains specimens labeled as E. simploniana from Finland; and BOLD:ACJ7207 contains specimens labeled as E. simploniana from Austria and Italy.Sequences of E. arctica from specimens collected in Alaska. He later [E. arctica was conspecific with E. simploniana, a Palearctic species recorded from the mountains of Central Europe, Scandinavia, western Russia, Siberia, and Mongolia [E. arctica in the Nearctic and E. simploniana in the Palearctic. In addition, we found what appear to be subtle but consistent morphological differences between E. arctica and E. simploniana that could be used to separate the two taxa (unpublished). Further research is necessary to determine why there are two separate BINs for E. arctica and three separate BINs for E. simploniana; this could indicate the possibility of one or more cryptic species in this group. Regardless, there is sufficient evidence to elevate E. arctica Miller, 1985, stat. rev., back to species status and restrict the distribution of E. simploniana to the Palearctic.Miller describeHe later determinMongolia . DNA barEpiblema sticticana Previous status: Palearctic Revised status: Holarctic or Introduced?Supported by DNA in BOLD: YesBINs: BOLD:AAC0719E. sticticana from Europe. It appears that this taxon is either Holarctic or newly introduced to North America.Specimens of this species are placed in a single BIN (BOLD:AAC0719) with representatives from Europe and a single specimen from Canada. The specimen from Canada was collected in Gros Morne National Park in Newfoundland in 2009. It shares a 100% identical DNA barcode with 15+ specimens identified as Notocelia rosaecolana Previous status: Introduced from EuropeRevised status: No changeSupported by DNA in BOLD: YesBINs: BOLD:AAC1134 N. rosaecolana in BOLD are placed in a single BIN (BOLD:AAC1134) with representatives from Europe , Canada , and the U.S. . There is little genetic variation in this BIN, and many specimens share nearly identical DNA barcodes. A single specimen from the United Kingdom is placed in a separate BIN by itself (BOLD:AAC1135), but the DNA sequence is short and likely accounts for placement of this specimen.Specimens of N. rosaecolana, N. trimaculana, or both species were introduced to North America. The earliest record is from Smith [Eucosma suffusana (a junior synonym of N. trimaculana) from New Jersey. Various other publications refer to N. trimaculana or N. rosaecolana as being the introduced taxon. Miller et al. [N. rosaecolana is the only species of the two present in North America, and that prior literature records referring to N. trimaculana were likely incorrect.There has been a long history of attempting to determine if the European om Smith , who repr et al. resolvedNotocelia cynosbatella Previous status: Introduced from EuropeRevised status: No change; potential cryptic species and/or misidentificationsSupported by DNA in BOLD: YesBINs: BOLD:AAC3245 (Canada); BOLD:AAC9709 (Europe); BOLD:AAC3246 (Europe and Canada)N. cynosbatella are placed in three separate BINs in BOLD: BOLD:AAC3245 contains specimens from Canada ; BOLD:AAC9709 contains specimens from Europe ; and BOLD:AAC3246 contains specimens from Europe and Canada. The last BIN also contains some specimens labeled as N. illotana. BINs are separated by 2.4\u20133.4% (p-dist).Sequences of N. cynosbatella in North America from specimens collected near Vancouver, British Columbia in 1978. Pohl et al. [Notocelia cynosbatella is very similar to N. illotana, which is native to North America. Although Mutuura [N. illotana, or that DNA barcodes in BOLD are not sufficient to separate these two species. It is also possible that there are cryptic species in this group.Mutuura documentl et al. list the Mutuura providesGypsonoma parryana Previous status: HolarcticRevised status: No changeSupported by DNA in BOLD: No (misidentifications and/or DNA barcodes do not separate species)BINs: BOLD:AAB1285Gypsonoma, including G. parryana, G. nitidulana, G. fasciolana, G. salicicolana, and G. nebulosana. The sequences cluster into several groups, but it is not clear if many of the specimens in this BIN are misidentified or if these DNA data are not sufficient to separate out species. Pohl et al. [The BIN BOLD:AAB1285 contains specimens identified as several different species of l et al. list thil et al. .Gypsonoma nitidulana Previous status: HolarcticRevised status: PalearcticSupported by DNA in BOLD: No (misidentifications and/or DNA barcodes do not separate species)BINs: BOLD:AAB1285G. parryana, G. nitidulana, G. fasciolana, G. salicicolana, and G. nebulosana). It is not known if many of these are misidentifications or if DNA barcodes are not able to separate species in this group.Sequences of this species are placed in BIN BOLD:AAB1285, along with sequences of the previous taxon and several other species Previous status: Introduced from EuropeRevised status: No changeSupported by DNA in BOLD: YesBINs: BOLD:AAB0379G. aceriana in BOLD are placed in a single BIN (BOLD:AAB0379) with specimens from Europe and Canada. This species was first reported from North America in western Washington by Miller and LaGasa [G. aceriana that were collected in southwestern British Columbia as early as 1980. Subsequent collecting by LaGasa and Humble et al. [Sequences of d LaGasa . Severald LaGasa reportede et al. confirmeCrocidosema plebejana Zeller, 1847Previous status: HolarcticRevised status:Crocidosema plebejana ; potentially several other species, none with a Holarctic distributionSupported by DNA in BOLD: YesBINs: BOLD:AAA7083 ; BOLD:ABY9664 (Africa); BOLD:ACE9795 ; BOLD:AAA7084 C. plebejana in BOLD are separated geographically into several BINs. BOLD:AAA7083 contains specimens only from Australia; BOLD:ABY9664 contains specimens only from Africa; BOLD:ACE9795 contains specimens from Europe and Egypt; and BOLD:AAA7084 contains specimens from California, Texas, and Costa Rica. There is seemingly no regional overlap in the BOLD data, suggesting that each of these BINs might be a separate taxon. Distance between BINs varies from 1.4% (p-dist) between BOLD:AAA7083 and BOLD:ACE9795 to 4.3% (p-dist) between BOLD:AAA7084 and the other three BINs.Sequences of Crocidosema plebejana was originally described from Europe, and an additional 13 names, described from various parts of the world, are currently considered synonyms, including several from the New World. Some other species described from Hawaii and South America are closely related [C. plebejana is currently treated as a cosmopolitan species, it has been suggested that several of the synonyms are valid species [C. synneurota Meyrick as a valid species and suggested other potential changes. The DNA data in BOLD suggest that at least populations on each continent might be separate taxa. Similarly, Lincango [C. plebejana, and the specimens of C. plebejana from Europe did not group with those from South America. Moreover, there is extreme variation in both male and female genitalia. A more comprehensive molecular analysis is necessary to clarify the identity of the species involved. For now, we believe C. plebejana should be restricted to the Palearctic, and that none of the taxa involved in this complex are Holarctic in distribution. related ,144. Alt species . Razowsk species resurrecLincango in a mulCrocidosema lantana Busck, 1910Previous status: Holarctic?Revised status: Neotropical; introduced elsewhere for biocontrolSupported by DNA in BOLD: Yes BINs: BOLD:AAH5763 C. lantana in BOLD are placed in a single BIN (BOLD:AAH5763), with specimens from Costa Rica, Jamaica, Australia, Madagascar, and Kenya.The sequences of Lantana [Crocidosema lantana has been introduced to Kenya [C. lantana is found in Florida.This species was introduced to Hawaii from Mexico in 1902 to control Lantana . It was Lantana . Crocidoto Kenya , and is Rhopobota naevana Previous status: HolarcticRevised status: No changeSupported by DNA in BOLD: YesBINs: BOLD:AAA9812In BOLD, the nearly 700 sequences representing this species fall into a single BIN (BOLD:AAA9812), with representatives from Canada, Europe, Japan, Pakistan, and the U.S. There is no evidence of any cryptic taxa.This species is most likely Holarctic, being recorded from North America as early as 1863 and 1869 based on junior synonyms described from Hudson Bay, Canada and Massachusetts. Gillespie and Gillespie state thEpinotia trigonella Previous status: HolarcticRevised status: No changeSupported by DNA in BOLD: YesBINs: BOLD:AAB2504E. trigonella fall into a single BIN from Europe and Canada . Sequences are clustered into three groups, with one consisting of mostly specimens identified as E. indecorana from Finland and Norway. Two specimens from Alaska identified as E. trigonella are placed in other BINs and most likely misidentified.Specimens identified as jasperana Brown, 1980 [E. trigonella. Aarvik [E. indecorana and E. trigonella as separate species, and Karsholt et al. [E. indecorana clustering separately from those of E. trigonella.DNA data support a Holarctic distribution for this species. Pohl et al. include wn, 1980 , describ. Aarvik treats Et et al. follow tEpinotia solandriana Previous status: HolarcticRevised status: Holarctic?Supported by DNA in BOLD: No (sequence clustering is ambiguous)BINs: BOLD:AAA6716E. solandriana in BOLD are placed a single BIN (BOLD:AAA6716). However, sequences within this BIN are divided into two distinct clusters, with one representing North America and the other representing Europe . This clustering of sequences could suggest that the European and North American populations represent different species, but more study is needed to determine the genetic variability of this species.Sequences of Epinotia solandriana is currently considered to be Holarctic [olarctic ,149. Marolarctic suggesteEpinotia abbreviana Previous status: Introduced from EuropeRevised status: No changeSupported by DNA in BOLD: No (no specimens from North America in BOLD)BINs: BOLD:AAE1784Epinotia abbreviana is represented in BOLD with specimens from Europe placed in a single BIN (BOLD:AAE1784). This species was first recorded from North America by Dang [E. abbreviana reared from St. John\u2019s, Newfoundland in 1981 and 1988. by Dang , who docEpinotia nisella Previous status: Holarctic Revised status: No changeSupported by DNA in BOLD: YesBINs: BOLD:ABZ1141 ; BOLD:AAA7530 ; BOLD:AAA7528 E. nisella is placed in three BINs: BOLD:ABZ1141 containing specimens from Austria and Germany; BOLD:AAA7530 containing specimens from Europe and Alaska; and BOLD:AAA7528 containing specimens rom Canada and Alaska. Mutanen et al. [In BOLD, n et al. providesE. cinereana). Epinotia nisella has a long list of synonyms, owing to its variable forewing pattern. This species is currently distributed throughout Europe and Russia to China and Japan, and has even been recorded from Iceland [Mutanen et al. resolved Iceland . In NortEpinotia cinereana Previous status: HolarcticRevised status: No changeSupported by DNA in BOLD: YesBINs: BOLD:AAA7532 ; BOLD:AAA7529 ; BOLD:ABX4876 E. cinereana represented in BOLD are placed in three BINs: BOLD:AAA7532 containing specimens labeled as E. cinereana from Europe; BOLD:AAA7529 containing specimens labeled as E. criddleana from Canada; and BOLD:ABX4876 containing specimens labeled as E. cinereana from Europe and E. criddleana from Canada. Mutanen et al. [The specimens of n et al. provide E. nisella. They determined (based on morphology) that the North American E. criddleana is a junior synonym of E. cinereana, resulting in a Holarctic distribution. Epinotia cinereana is widely distributed across Europe, with scattered records through Russia to Japan and China [Mutanen et al. resolvednd China . In Nortnd China .Epinotia columbia Previous status: HolarcticRevised status: Nearctic; potential cryptic species in North AmericaSupported by DNA in BOLD: YesBINs: BOLD:AAF0407 ; BOLD:AAE1754 (Canada)Epinotia columbia is represented in BOLD with two BINs: BOLD:AAF0407 contains specimens from California and British Columbia, and BOLD:AAE1754 contains specimens from Canada . Both are separated from the BIN containing E. crenana (former senior synonym) from Europe (BOLD:AAE1756). It is not known which BIN represents E. columbia, although it was described from British Columbia, and the historic distribution has been limited to western North America. Thus, it is likely that BOLD:AAE1754 represents an undescribed cryptic species.columbia with E. crenana based on similarities in genitalia. In his unpublished Master\u2019s thesis, R. L. Brown [E. columbia back to species status; this change was formalized by J. Brown [E. columbia includes much of Canada west to British Columbia, Arizona, Nevada, Utah, and along the Pacific Coast to southern California [E. crenana.Heinrich synonymiL. Brown elevatedJ. Brown in the tlifornia . There iEpinotia nanana Previous status: Introduced from EuropeRevised status: No changeSupported by DNA in BOLD: YesBINs: BOLD:AAA8628 ; BOLD:ACF5528 (Europe)E. nanana fall into two BINs in BOLD. BOLD:AAA8628 contains specimens from Canada , the U.S. (Connecticut), and Europe . BOLD:ACF5528 contains specimens from other locations in Europe . Both BINs cluster together and are separated by only 1.09% (p-dist). As such, it is likely they represent a single taxon with some geographic structuring.Sequences of Epinotia nanana was originally described from Germany, and in the Palearctic, it is widely distributed across Europe, ranging into Siberia and Mongolia [E. nanana by Heinrich [Eucosma domonana was described from Framingham, Massachusetts, and Epinotia piceafoliana was described from Essex County Park, New Jersey. The first record of E. nanana in western North America is from a single specimen collected in British Columbia at some point prior to 1965 [E. nanana established in British Columbia.Mongolia . The firHeinrich . Eucosma to 1965 . This spEpinotia medioplagata Previous status: HolarcticRevised status: No changeSupported by DNA in BOLD: No (no specimens from outside North America in BOLD)BINs: BOLD:AAB6354BOLD contains sequences of specimens from the U.S. and Canada placed in a single BIN (BOLD:AAB6354). There are no specimens from the Palearctic represented in BOLD. However, this species is also recorded from Magadan Region in the Russian Far East , and wasEpinotia cruciana Previous status: HolarcticRevised status: No change; potential cryptic speciesSupported by DNA in BOLD: YesBINs: BOLD:ABX2894 (Canada); BOLD:ACE9994 ; BOLD:AAC2644 E. cruciana fall into three BINs: BOLD:ABX2894 contains specimens from Canada ; BOLD:ACE9994 contains specimens from Canada and two specimens from Italy; and BOLD:AAC2644 contains specimens from Europe and much of Canada. The first BIN containing specimens only from Canada is more distant (2.2% p-dist) from the other two BINs, which are only separated by 1.2% (p-dist). It is likely that one or both of the BINs containing specimens from Europe represent the true E. cruciana.Sequences of Epinotia cruciana ssp. alaskae was described from Alaska; cockleana was described from western Canada; direptana was described from Hudson Bay, Canada; E. cruciana ssp. lepida was described from New Hampshire; and vilisana was described from Hudson Bay, Canada. This species was described from Sweden and has at least 15 junior synonyms, several of which are from North America . EpinotiEpinotia seorsa Heinrich, 1924Previous status: Holarctic?Revised status: NearcticSupported by DNA in BOLD: No (this species not present in BOLD)BINs: N/AE. seorsa includes western Canada and California [blanchardi [The known distribution of lifornia . There alifornia includedanchardi as a junEpinotia salicicolana Kuznetsov, 1968Previous status: Introduced?Revised status: Holarctic or Introduced?Supported by DNA in BOLD: No (no specimens from North America in BOLD)BINs: N/AEpinotia salicicolana was described from the Kuril Islands in the Russian Far East and has been also recorded from Korea, Japan, China, and Taiwan [www.efauna.bc.ca). Pohl et al. [d Taiwan ,155. It l et al. listed tDichrorampha vancouverana McDunnough, 1935Previous status: HolarcticRevised status: No changeSupported by DNA in BOLD: YesBINs: BOLD:AAC1223D. vancouverana are placed in a single BIN, BOLD:AAC1223, with specimens from Europe and Canada . As the name suggests, D. vancouverana was described from Vancouver Island, British Columbia. Miller [D. vancouverana was the same species as the European D. gueneeana and synonymized the two names.Sequences of . Miller recognizTortrix politana from Austria (now a junior synonym of Lathronympha strigana). Guenee [Dichrorampha (now vancouverana) in Europe as politana; however, this was clearly a misidentification. Obraztsov [gueneeana as a replacement name for Guenee\u2019s misidentified politana. Because Guenee\u2019s reference to politana was simply a misidentification, it is likely that Obraztsov\u2019s gueneeana is invalid, because this was assigned as a replacement name and was not a new species description. Regardless, the species previously referred to as D. gueneeana in Europe can now be correctly referred to as the Holarctic D. vancouverana.The taxonomic history of this species is somewhat confusing. Denis and Schifferm\u00fcller describe. Guenee referredbraztsov assignedDichrorampha sedatana Previous status: HolarcticRevised status: Holarctic?Supported by DNA in BOLD: No (misidentifications and/or DNA barcodes do not separate species)BINs: BOLD:AAA8637 ; BOLD:AAA8636 Dichrorampha sedatana can be problematic to separate from similar species such as D. aeratana, D. acuminatana, D. plumbana, and D. dana based only on wing pattern. A genitalic dissection is necessary to confirm identity in this group, and even then, identification is difficult due to variation. The majority of Dichrorampha in BOLD are not dissected, and thus, species identifications are sometimes questionable, especially when multiple species are assigned to the same BIN. Sequences of D. sedatana in BOLD are placed in two BINs. BOLD:AAA8636 contains specimens labeled as D. sedatana from Canada and specimens labeled as D. acuminatana from Europe. BOLD:AAA8637 contains specimens labeled as D. sedatana from Europe, specimens labeled as D. aeratana from Europe and Canada, and specimens labeled as D. tarmanni from Italy. Relatively low genetic diversity in both BINs suggests that multiple names in each BIN are a result of misidentifications, or that multiple species within this group share nearly identical DNA barcodes. It is not possible to determine the status of these taxa without extensive examination of the specimens from this group represented in BOLD.Dichrorampha sedatana is currently treated as Holarctic [D. sedatana specimens identified in Europe seem to be different from those identified in North America . However, the BOLD data are currently not sufficient to support this conclusion because of apparent issues with species identifications. Pohl et al. [D. plumbana for North American populations is erroneous.olarctic . It has l et al. noted thDichrorampha odorata Brown and Zachariades, 2007Previous status: Introduced?Revised status: Probably native to southern Florida/CaribbeanSupported by DNA in BOLD: No (this species not present in BOLD)BINs: N/AThis species was described from Jamaica in 2007, but was found in Florida in 2014 feeding on weeds. There is no evidence it is introduced, and thus, it is probably native to the region and simply not detected in Florida until recently. This species is not represented in BOLD.Dichrorampha petiverella Previous status: Introduced from EuropeRevised status: No changeSupported by DNA in BOLD: YesBINs: BOLD:AAC9827D. petiverella in BOLD are placed in a single BIN (BOLD:AAC9827) representing Europe and North America .Specimens of D. petiverella is also present in Ontario, Quebec, and Washington. Pohl et al. [Roberts documentl et al. recordedDichrorampha acuminatana Previous status: Introduced from EuropeRevised status: No changeSupported by DNA in BOLD: No (misidentifications and/or DNA barcodes do not separate species)BINs: BOLD:AAA8637 ; BOLD:AAA8636 D. sedatana for a discussion of the DNA data for this group of species. Dichrorampha acuminatana was first discovered in North America in 2001 in Washington County, Maine [See y, Maine . This spy, Maine , and they, Maine recordedDichrorampha montanana Previous status: Introduced from EuropeRevised status: No change; cryptic species in EuropeSupported by DNA in BOLD: YesBINs: BOLD:AAE0714 ; BOLD:AAE0715 Dichrorampha montanana is represented in BOLD in two BINs: BOLD:AAE0715 contains specimens from Europe , and BOLD:AAE0714 contains specimens from Europe and Canada (Newfoundland). It is assumed that BOLD:AAE0714 is the \u201ctrue\u201d D. montanana because it contains a specimen from Canada that was verified via dissection. Huemer [D. montanana for the first time from North America with specimens from Newfoundland that were confirmed via genitalic dissection.. Huemer stated t. Huemer recordedDichrorampha aeratana Previous status: Palearctic Revised status: Introduced from EuropeSupported by DNA in BOLD: No (misidentifications and/or DNA barcodes do not separate species)BINs: BOLD:AAA8637 ; BOLD:AAA8636 D. sedatana for a discussion of the DNA data for this group of species. Sabourin [D. aeratana from North America with specimens first collected in 1992 in Vermont. Sabourin [See Sabourin reportedSabourin also repGrapholita molesta Previous status: Introduced from AsiaRevised status: No changeSupported by DNA in BOLD: YesBINs: BOLD:AAB0523G. molesta fall into a single BIN (BOLD:AAB0523) with a worldwide distribution. The earliest records of G. molesta in North America are from Washington, D.C., where it was apparently introduced in flowering cherry from Japan in 1912 or 1913 [In BOLD, specimens of or 1913 . It has Grapholita delineana Walker, 1863Previous status: Introduced from AsiaRevised status: No changeSupported by DNA in BOLD: No (no specimens from North America in BOLD)BINs: BOLD:AAY2279 ; BOLD:ABW6517 (South Korea)G. delineana in BOLD are placed in two BINs: BOLD:AAY2279 contains specimens from Pakistan and Japan, and BOLD:ABW6517 contains a single specimen from South Korea. It is possible the South Korean specimen is misidentified.Specimens of Grapholita delineana is a native of East Asia that spread into Europe, Asia Minor, Transcausasia, and North America with the commercial production of hemp [G. delineana to be present in hemp fields in eastern Colorado in 2017\u20132018, and it is likely that this species will continue to spread with expanded industrial hemp production. of hemp ,165. The of hemp ,165. Cra of hemp found G.Grapholita aureolana Previous status: HolarcticRevised status: No changeSupported by DNA in BOLD: YesBINs: BOLD:AAE7252Grapholita aureolana fall into a single BIN in BOLD (BOLD:AAE7252), with specimens from Europe and Canada. Pohl et al. [Sequences of l et al. were theCydia coniferana Previous status: Introduced from EuropeRevised status: No change; potential cryptic species in western North AmericaSupported by DNA in BOLD: YesBINs: BOLD:AAC6167 (Europe and Canada); BOLD:AAC6168 (western U.S.)Cydia coniferana is represented in BOLD by sequences that fall into two BINs: BOLD:AAC6167 contains specimens from Europe and Canada (Ontario), and BOLD:AAC6168 contains specimens from the western U.S. .This species was first reported from North America by Schaffner for seveC. coniferana did establish in eastern North America, with one specimen collected in 2015 from Peterborough in Central Ontario represented in BOLD. It is likely that the populations in the Pacific Northwest and elsewhere in western North America (New Mexico) represent a cryptic species. There are also records of this species from the Russian Far East [C. coniferana. Based on the DNA sequence data, it seems that a population of Far East ; these aCydia nigricana Previous status: Introduced from EuropeRevised status: No change; potential cryptic species in North AmericaSupported by DNA in BOLD: YesBINs: BOLD:AAA7614 (Europe and Canada); BOLD:AAE7682 (North America)C. nigricana in BOLD are placed into two separate BINs: BOLD:AAA7614 contains specimens from Europe and Canada , and this BIN likely represents the true C. nigricana, which was described from Great Britain; the second BIN (BOLD:AAE7682) contains specimens from only North America , and represents either a group of misidentified specimens or a potential cryptic species. There are two junior synonyms of C. nigricana that were described from the U.S. , and it is possible that one or both of these names could be applied to specimens in BOLD:AAE7682. Cydia nigricana was introduced from Europe, and first found in North America in eastern Canada in 1893 and in British Columbia in 1933 [Sequences of in 1933 .Cydia pomonella Previous status: Introduced from EuropeRevised status: No changeSupported by DNA in BOLD: YesBINs: BOLD:AAA3532C. pomonella in BOLD are placed into a single BIN (BOLD:AAA3532) that consists of specimens collected throughout the world. There is no evidence of any cryptic species. The earliest record of C. pomonella in North America is a report of wormy apples and pears in the vicinity of Boston in 1819 [Sequences of in 1819 . The \u201ccoCydia saltitans , stat. rev.Previous status: IntroducedRevised status: Neotropical; not present in the U.S.Supported by DNA in BOLD: YesBINs: BOLD:AAA0992Cydia deshaisiana Lucas, 1858 in most modern publications. Although this name was published by Lucas in November, 1858 [deshaisiana is a nomen nudum. The behavior of this insect (\u201cjumping seeds\u201d) had actually been described a year earlier by Westwood in 1857 [Carpocapsa saltitans [The name for the \u201cMexican jumping bean\u201d moth has traditionally been cited as er, 1858 , his acc in 1857 , althougaltitans ,172.C. saltitans, unless we simply use the June 7, 1858 date when the paper was first read and assume it was published in the next issue of the Proceedings in July. Regardless, the correct name for the \u201cMexican jumping bean\u201d moth is Cydia saltitans , stat. rev.Determining the exact date this description was published is difficult. The Proceedings of the Entomological Society of London were published on an irregular basis, most often quarterly. Wheeler listed dC. saltitans appears to be restricted the northern states of Sinoloa and Sonora in Mexico.The only specimens in BOLD are from Costa Rica in (BOLD:AAA0992), and there is no evidence of this species occurring north of Mexico. \u201cMexican jumping beans\u201d are routinely imported into the U.S. and adult moths eventually emerge from the seeds. However, there are no records of this species being found in the wild in the U.S., and the distribution of Cydia cornucopiae Previous status: Holarctic?Revised status: No changeSupported by DNA in BOLD: No (no specimens from North America in BOLD)BINs: BOLD:AAF7704This species was first reported from North America in Alaska by Ferris et al. . It is oThaumatotibia leucotreta Previous status: IntroducedRevised status: Not established in North AmericaSupported by DNA in BOLD: YesBINs: BOLD:AAE7729This species is native to Africa. A single male specimen was found in a pheromone trap in Ventura County, California in July, 2008 . AlthougConiostola isabelae Razowski and Landry, 2008Previous status: Neotropical Revised status: No changeSupported by DNA in BOLD: No (this species not present in BOLD)BINs: N/AThis species was described from the Galapagos Islands. Razowski and Becker reportedSubfamily CHLIDANOTINAEAuratonota dispersa Brown, 1990Previous status: Exotic, not established Revised status: No changeSupported by DNA in BOLD: No (insufficient records in BOLD)BINs: BOLD:AAJ9640This species is native to Central America, e.g., Guatemala to Panama . It has Determining whether a species is natively Holarctic or a relatively recent immigrant to North America from Eurasia is often difficult, even with the assistance of DNA data. Based on an established set of criteria, we evaluated 151 species of Tortricidae putatively documented from North America and hypothesize their origin. A summary of the data is presented in The overall number of tortricids introduced to North America is similar to those recently reported by other authors, e.g., Pohl et al. . A totalThe overall importance of introduced taxa cannot be overstated, and the environmental and economic costs from invasive species continue to increase. Hence, it is critically important to recognize these pests and distinguish them from species that are natively Holarctic. Based on the entire order Lepidoptera, the superfamily Tortricoidea has the third highest number of economically important species , trailing only Noctuoidea, with 1034 pests, and Pyraloidea, with 748 pests . Further"}
+{"text": "There is an error in the Competing Interests statement. The correct Competing Interests statement is as follows: Co-author K. Nakayama is a co-founder and shareholder of Cyfuse Biomedical KK. and an inventor/ developer designated on the patent for the Bio-3D printer. Patent title: Method for Production of Three-Dimensional Structure of Cells; patent number: JP4517125. Patent title: Cell Structure Production Device; patent number: JP5896104. The other authors have declared that no competing interests exist. This does not alter the authors\u2019 adherence to PLOS ONE policies on sharing data and materials."}
+{"text": "Bathytoshialata, Dasyatismarmorata, Dasyatispastinaca, Dasyatistortonesei, Himanturauarnak, Pteroplatytrygonviolacea and Taeniuragrabata. Papaconstantinou (2014) listed four species of Dasyatidae occurring in Greece . However, the marbled stingray (D.marmorata) was not amongst them. Here, the presence of D.marmorata was examined for the first time in Greece.Currently, seven dasyatid species have been described in the Mediterranean Sea: D.marmorata in the Eastern Mediterranean Sea. A juvenile male stingray was captured in February 2019, during an onshore survey in Maliakos Gulf, located in the central Aegean Sea, Greece. The ray was examined at the Fisheries laboratory of the Hellenic Centre for Marine Research (HCMR) in Athens and was identified as D.marmorata. Morphological characters were recorded and DNA barcoding was applied to confirm the species identification. The combination of the two methods verified the occurrence of the marbled ray in the Greek waters. This is the first record of D.marmorata from the Aegean Sea.The present study provides updated information on the geographical distribution of Dasyatidae have been described in the Mediterranean Sea, which is the result of considerable updating of species occurrence in the region; for example, the roughtail stingray, valid as Dasyatiscentroura Mitchill, 1815, that was previously reported inhabiting the Mediterranean Sea, is now considered to be solely distributed along the Western coasts of the Atlantic Ocean, whereas its closely related species, the brown stingray Bathytoshialata Garman, 1880, occupies the Mediterranean and the eastern coasts of Africa for males and females, respectively and the gestation period lasts around three to four months, with litter size of two to four embryos Fig. . The occea) Fig. . The spe2 (1.5 mM), 200 \u03bcM of each deoxyribonucleotide triphosphate , 0.5 \u03bcl (300 \u03bcM) of each primer, 1 U GoTaq G2 Flexi polymerase (Promega) and 14.5 \u03bcl molecular grade water. Subsequently, the PCR product was sequenced commercially .Genomic DNA was extracted using the Chelex resin protocol . DNA barhttp://blast.ncbi.nlm.nih.gov/Blast.cgi) and the BOLD database .The sequence was compared with those available in GenBank using the standard nucleotide BLAST (blastn) against the nucleotide collection (nr/nt) database A39C719A-0311-5D12-B498-3FA2DAB02AE9Type status:Other material. Occurrence: occurrenceRemarks: collected dead in fishing nets; recordedBy: Stefanos Kavadas; individualCount: 1; sex: male; lifeStage: juvenile; reproductiveCondition: non-reproductive; preparations: whole animal, photographs, DNA extract; associatedSequences: MT044303GenBank: ; Taxon: kingdom: Animalia; phylum: Chordata; class: Chondrichthyes; order: Myliobatiformes; family: Dasyatidae; genus: Dasyatis; taxonRank: species; vernacularName: marbled stingray; Location: continent: Europe; waterBody: Aegean Sea; country: Greece; countryCode: GR; municipality: Central Greece; locality: Maliakos Gulf; verbatimLatitude: 38.882326; verbatimLongitude: 22.592301; verbatimCoordinateSystem: decimal degrees; Identification: identificationID: 371208; identificationReferences: Cyclostomata from the North-eastern Atlantic and the Mediterranean. Iglesias 2013\".\"Rays of the world. Last et al. 2016\". \"Chondrichthyans and ; identificationRemarks: blue blotches on pectoral fins, disc length vs. disc width; Event: samplingProtocol: trammel net; samplingEffort: 27 sampling hours; eventDate: 2019-02-09T09:00+0200; startDayOfYear: 39; endDayOfYear: 40; year: 2019; month: February; day: 9; habitat: muddy bottom; fieldNumber: 1902MLGT/T1H1/CM1; Record Level: type: By-catch entanglement; language: en; rightsHolder: Hellenic Centre for Marine Research; institutionCode: HCMR; basisOfRecord: Dead specimenThe collected specimen was a juvenile male measuring 330 mm in total length, 160 mm in disc length and 188 mm in disc width and weighing 171.8 g . Additionally, twenty six morphological characters were also recorded Table and the D.marmorata (1.5 times) than that from D.pastinaca (1.8-2 times) (MT044303). The barcode search on GenBank produced clear top matches with 100% similarity to Dasyatismarmorata records reported in the database. Additionally, BOLD comparisons showed similar matching rates. The molecular results obtained verified the macroscopic identification of the species.Morphological measurements were expressed as percentage of DW as previously proposed for sting rays and are 2 times) b. PrevioD.marmorata, collected in Greek waters, extending its distribution further into the Eastern Mediterranean Sea. Morphological measurements and molecular tools were combined to identify the species in the studied area. This is consistent with recent records of D.marmorata along the Turkish coast (Bilecenoglu in D.marmorata). Species records from the latest book of fish fauna in Greece do not include the marbled ray , in collaboration with the Fisheries Research Institute . Priority should be given to rare and vulnerable species occurring in the Eastern Mediterranean, to improve their conservation and restrict further biodiversity loss. Furthermore, this study highlights the utility of DNA barcoding in assisting species identification and its role to accurately determine the occurrence and distribution of species."}
+{"text": "Comparison of different surgical approaches for pediatric cataracts: complications and rates of additional surgery during long-term follow-upIn the article Figure 1 for:Replace"}
+{"text": "Colorectal carcinoma (CRC) is among the most common cancers with high morbidity and mortality among all malignancies, and the most common CRC is colon adenocarcinoma (CA).Overall, we obtained genome\u2010wide sequencing data from a cancer genome atlas of 319 patient cohorts . Lili Yan: Data curation . Yang Lu: Software . Dongfeng Liu: Methodology . Jia Niu: Writing\u2010original draft . Liyong Yin: Writing\u2010review & editing ."}
+{"text": "The online version has been amended.In this paper by Harriet Forbes and colleagues (BMJ 2021;372:n628, doi:"}
+{"text": "Plasmodium vivax, the most widespread Plasmodium species in the world. This species has been neglected and understudied for a long time, due to its lower mortality in comparison with Plasmodium falciparum. A renewed interest has emerged in the past decade with the discovery of antimalarial drug resistance and of severe and even fatal human cases. Nonetheless, today there are still significant gaps in our understanding of the population genetics and evolutionary history of P. vivax, particularly because of a lack of genetic data from Africa. To address these gaps, we genotyped 14 microsatellite loci in 834 samples obtained from 28 locations in 20 countries from around the world. We discuss the worldwide population genetic structure and diversity and the evolutionary origin of P. vivax in the world and its introduction into the Americas. This study demonstrates the importance of conducting genome-wide analyses of P. vivax in order to unravel its complex evolutionary history.More than 200 million malaria clinical cases are reported each year due to Plasmodium species infecting humans, P. vivax is the most prevalent parasite outside Africa. To date, there has been less research on this species than for Plasmodium falciparum, a more lethal species, principally because of the lack of an in vitro culture system and also because P. vivax is considered relatively benign. Nevertheless, P. vivax is responsible for severe and incapacitating clinical symptoms with significant effects on human health. The emergence of new drug resistance and the discovery of severe and even fatal cases due to P. vivax question the benign status of P. vivax malaria. In recent years, there has been increased interest in characterizing the distribution of genetic variation in P. vivax. However, these studies either generated genetic information from a regional geographic scale or combine genetic datasets generated in different molecular platforms, which is known to generate biased results. In this study, we used a single genotyping platform to genotype 14 microsatellite markers in 834 samples of P. vivax obtained from 28 locations in 20 countries from around the world, including several populations from East and West Africa. We discuss the worldwide population genetic structure and the evolutionary origins of P. vivax, as well as its introduction into the Americas.Among the five Plasmodium parasites are the agents responsible for malaria, one of the worst scourges of mankind, with almost 600,000 infant deaths and about 200 million clinical cases reported each year)ilibrium . In contilibrium . P. vivar others Tables. observed , indicatulations , which cAt a worldwide scale, populations tend to group together according to their geographic locations but the relationships between populations of different geographic origins are far less obvious Figs and 4. OP. vivax as well as the effect of more recent demographic events like population contraction, expansion or founding events.The variations of genetic diversity and genetic differentiation observed among populations at a worldwide scale are likely the consequence of the history of colonisation of the world by P. vivax and its spread throughout the world: the \u201cOut of Asia\u201d scenario and the \u201cOut of Africa\u201d scenario. Although these two hypotheses were based on different lines of evidence, the \u201cOut of Africa\u201d hypothesis has enjoyed renewed interest in recent years following the discovery of parasites closely related to P. vivax in African apes (named P. vivax-like) and the observation that human P. vivax diversity appears to be nested within that of the P. vivax-like parasites. This discovery has led some researchers to suggest that human strains of P. vivax originated following the transfer of parasites from African great apes to humans [P. vivax in sub-Saharan human populations, associated to the absence at the surface of their red blood cells of the Duffy antigen (i.e. Duffy negativity), suggesting that the Duffy-negative mutation was selected a long time ago in response to P. vivax infection [P. vivax was inferred from just a few nuclear genes and partial mitochondrial genomes and is consistent with several alternative scenarios. Indeed, such phylogenetic patterns can also be obtained because of incomplete lineage sorting or because of a lack of phylogenetic signal for the sequences used, two phenomena that are frequent when species have recently diverged (which is the case for P. vivax and P. vivax-like). We recently showed, comparing P. vivax-like genomes to those of P. vivax, that incongruent phylogenies may be obtained when one limits the analyses to a single or a couple of genes [P. vivax, with the high genetic diversity obtained in current Asian P. vivax parasite populations in comparison to the rest of worldwide P. vivax parasites? This pattern of genetic diversity is the opposite for P. falciparum, which has a well-established African origin [P. vivax [P. vivax among Plasmodium parasite species infecting mostly wild Asian monkeys (about fifteen monkey species\u2019) also calls into question the \u201cOut of Africa\u201d hypothesis.Two scenarios have been proposed to explain the origin of o humans ,33. The nfection . Howeverof genes . Second,n origin . Indeed,P. vivax . FinallyP. vivax at a worldwide scale, then our results based on microsatellite markers, would be more congruent with an Asian origin and a spread from Asia of the current populations of P. vivax found worldwide in humans. Genetic diversity and allelic richness are highest in South-East Asian P. vivax populations and decrease from South East Asia to East Africa are clearly insufficient to disentangle the impact of recent and ancient demographic events on the distribution of P. vivax genetic variability. More extensive analyses of the population genetic structure of these parasites, using whole genome data and some tests of demographic scenarios, might be necessary to resolve the origin and evolution of these parasites.One may nevertheless advocate that some of these genetic patterns (e.g. the decrease of genetic diversity from Asia to Africa) could also be the consequence of the current differences in population size of the P. vivax populations from South America and Central America (Mexico and Honduras) appear to be more closely related to some African populations (the Mauritanian P. vivax population), thus suggesting a double origin of P. vivax in America (Asian and African). Moreover, we found that American P. vivax populations harbour low levels of genetic variation. These results are consistent with a scenario in which American P. vivax populations were introduced from multiple sources. This possibility of introduction from multiple locations has already been mentioned in several recent studies based on the analysis of different kinds of genetic markers [P. vivax populations contributed to the current diversity of P. vivax observed in South America [P. vivax dated between 1942 and 1944 that European isolates were closely related to the most common present-day American haplotype [P. vivax likely entered the American continent during the post Columbian contact [P. vivax parasites seem to be characterized by a recent history through multiple introductions and the next steps will be to identify the sources of introduction and to date such events.Within the Americas, a separation is observed between onduras) . When coonduras) , it seem markers ,38. Rodr America . Gelaberaplotype . This su contact . To concP. vivax populations. The highest genetic diversity is again observed in South East Asian P. vivax populations in comparison to the populations of the rest of the world, which argues again the suggested African origin of current human P. vivax. Concerning the colonization of the American continent, results obtained in our study seem to suggest a double origin from Africa (or Europe) and Asia, as already suggested by different studies [P. vivax are needed, including the study of ancient European P. vivax strains.This study confirmed the worldwide genetic structure of studies ,37\u201339. IS1 FigFST computed using an island model. Red: area including the highest 5% neutral FST. Yellow: area including the lowest 5% neutral FST.The microsatellite markers suspected to be under positive selection (MS3 and MS6) are displayed. Grey: area including 95% of the neutral (PDF)Click here for additional data file.S2 FigRed and orange dots indicate the bootstrap values, ranging from 0.9 to 1, and from 0.6 to 0.89 respectively. The only difference detectable is that the AFR+MRT cluster is associated to the Central American populations when considering the full microsatellite markers set, whereas it is distinct when getting rid of the two markers detected under positive selection (MS3 and MS6). AFR: Central African Republic + Cameroon + Togo; ARM: Armenia; AZE: Azerbaijan; BAN: Bandarban; BAY: Bay Islands; CAM: Camopi; CAY: Cayenne; COX: Cox\u2019s Bazar; ETH: Ethiopia; HLF: New Halfa; HND: Honduras; IND: India; IRN: Iran; KGR: Khagrachari; KHA: Khartoum; MEX: Mexico; MRT: Mauritania; PAK: Pakistan; PER: Peru; STG: Saint Gorges de l\u2019Oyapock; THA: Thailand; TMY: Thailand/Myanmar; TUR: Turkey; VEN: Venezuela. In yellow are represented Asian countries, in purple Middle-east countries, in grey African countries and in green American countries.(PDF)Click here for additional data file.S3 FigIn yellow are represented Asian countries, in purple Middle-east countries, in grey African countries and in green American countries.(PDF)Click here for additional data file.S4 FigIn yellow are represented Asian countries, in purple Middle-east countries, in grey African countries and in green American countries.(PDF)Click here for additional data file.S5 FigST). A. Asian/Middle East continent and B. American continent. Mantel tests gave P-values < 0.05 for both continents tested.Pairwise geographic along landmasses plotted against pairwise genetic differentiation (F(PDF)Click here for additional data file.S1 TableAll isolates were genotyped by us for the 14 microsatellite loci. NA: non-available information.(DOCX)Click here for additional data file.S2 TableFor markers on the same chromosome, distances are enough to limit any physical linkage: MS2, MS5 and MS6 are at a minimum at 0.15Mb apart from each others; MS7 and MS8 are 1.14Mb appart; MS12 and MS15 are 1.04Mb appart.(DOCX)Click here for additional data file.S3 TableFor microsatellite genotypes, blank cases correspond to the absence of readable amplification/genotype.(DOCX)Click here for additional data file.S4 TableAFR: Central African Republic + Cameroon + Togo; ARM: Armenia; AZE: Azerbaijan; BAN: Bandarban; BAY: Bay Islands; CAM: Camopi; CAY: Cayenne; COX: Cox\u2019s Bazar; ETH: Ethiopia; HLF: New Halfa; HND: Honduras; IND: India; IRN: Iran; KGR: Khagrachari; KHA: Khartoum; MEX: Mexico; MRT: Mauritania; PAK: Pakistan; PER: Peru; STG: Saint Gorges de l\u2019Oyapock; THA: Thailand; TMY: Thailand/Myanmar; TUR: Turkey; VEN: Venezuela.(DOCX)Click here for additional data file.S5 TableARM: Armenia; AZE: Azerbaijan; BAN: Bandarban; BAY: Bay Islands; CAM: Camopi; CAY: Cayenne; COX: Cox\u2019s Bazar; ETH: Ethiopia; HLF: New Halfa; HND: Honduras; IND: India; IRN: Iran; KGR: Khagrachari; KHA: Khartoum; MEX: Mexico; MRT: Mauritania; PAK: Pakistan; PER: Peru; STG: Saint Gorges de l\u2019Oyapock; THA: Thailand; TMY: Thailand/Myanmar; TUR: Turkey; VEN: Venezuela.(DOCX)Click here for additional data file.S6 TableP-value < 0.008 (Bonferroni correction).*(DOCX)Click here for additional data file.S7 TableAll significant values are indicated in bold . AFR: Cantral African Republic + Cameroon + Togo; ARM: Armenia; AZE: Azerbaijan; BAN: Bandabar; BAY: Bay Islands; CAM: Camopi; CAY: Cayenne; COX: Cox\u2019s Bazar; ETH: Ethiopia; HLF: New Halfa; HND: Honduras; IND: India; IRN: Iran; KGR: Khagrachari; KHA: Khartoum; MEX: Mexico; MRT: Mauritania; PAK: Pakistan; PER: Peru; STG: Saint Georges de l\u2019Oyapock; THA: Thailand; TMY: Thailand/Myanmar; TUR: Turkey; VEN: Venezuela.(DOCX)Click here for additional data file."}
+{"text": "In \u201cRecommendations From the Twitter Hashtag #DoctorsAreDickheads: Qualitative Analysis :e17595), the authors noted three errors.In the originally published manuscript, the fourth sentence of the second paragraph of the Introduction section read:The term originated from a professional YouTube video maker, who posted a video on Twitter explaining that she had been diagnosed with Ehlers-Danlos syndrome and postural orthostatic hypotension syndrome (POTS).This has been changed to:The term originated from a professional YouTube video maker, who posted a video on Twitter explaining that she had been diagnosed with Ehlers-Danlos syndrome and postural orthostatic tachycardia syndrome (POTS).a originally read:In Table 2, footnote POTS: postural orthostatic hypotension syndrome.This has been changed to:POTS: postural orthostatic tachycardia syndrome.The Abbreviations section originally included the following:POTS: postural orthostatic hypotension syndrome.This has been changed to:POTS: postural orthostatic tachycardia syndrome.These corrections will appear in the online version of the paper on the JMIR Publications website on November 9, 2020, together with the publication of this correction notice. Because this was made after submission to PubMed, PubMed Central, and other full-text repositories, the corrected article has also been resubmitted to those repositories."}
+{"text": "Correction to:Movement Ecology (2023) 11:2010.1186/s40462-023-00378-1Following publication of the original article , the autThe statement in the \u2018Availability of data and materials\u2019 section originally read: We will make our data publicly available upon publication.The statement should read: The datasets generated for this study are available on request to the corresponding author.The original article has been"}
+{"text": "In the manuscript \u201cIsolated and combined association of excessive screen time and physical inactivity with negative self-rated health in adolescents\u201d, DOI: 10.1590/1984-0462/2023/41/2022077, published in the Rev Paul Pediatr. 2023;41:e2022077:On the top of the first page:Where it reads:Jean Carlos Parmigiani de MarcoIt should read:Jean Carlos Parmigiani De Marco"}
+{"text": "Correction to: BMC Health Services Research (2023) 23:71110.1186/s12913-023-09725-9Following publication of the original article , the autThe incorrect author name is: Zahra Hadian ShiaziThe correct author name is: Zahra Hadian ShiraziThe author group has been updated above and the original article has been"}
+{"text": "There are errors in the Funding section. The correct Funding statement is: Specific grant number: GST03 Initials of authors who received award: AvS Specific grant number: EDU/0500057415 Initials of authors who received award: AvS, HYFull names of commercial companies that funded the study or authors: no commercial company funded the study or authors.Work preparatory to this meta-analysis was funded by the Organization for Economic Cooperation and Development (Contract Reference: EDU/0500057415).The systematic literature search and the coding for this meta-analysis was funded by the Global TIES for Children Research Center at New York University Abu Dhabi (GST03).https://nyuad.nyu.edu/en/research/faculty-labs-and-projects/global-ties-for-children.htmlURL to sponsor\u2019 website: The funders (other than the named authors) had no role in study design, data collection and analysis, decision to publish, or preparation of the manuscript."}
+{"text": "J Pediatr 2022;241:203; Open Forum Infect Dis 2022;9(2):ofac492.626) that residents trained in a structured communication strategy called AIMS demonstrated specific behaviors of interest during live and virtual encounters with standardized patients (SPs) portraying vaccine-hesitant parents. The current study was conducted to determine if those behaviors were prioritized long after completion of training.We previously showed or standard of care training ; blinding was maintained after training and until the time of the current study. Subjects were invited to complete an online survey wherein 10 possible communication behaviors were ranked from highest priority to lowest priority . Respondents were considered to have prioritized AIMS behaviors if they ranked each of the 3 AIMS items in the top 5; the ability of this measure to detect prioritization of AIMS behaviors was assessed by surveying unblinded residents who underwent AIMS training in the prior 2 weeks . Differences between groups were assessed using Chi-square tests for proportions. We hypothesized that a higher proportion of subjects in the AIMS Group would prioritize AIMS behaviors compared to subjects in the Control Group.p-value = 0.003). However, only 19% of the 32 residents in the AIMS Group met criteria for prioritization of AIMS behaviors .Characteristics of study participants are shown in Figure 3. Seventy-seven percent of the 31 residents in the Validation Group met criteria for prioritization of AIMS behaviors, compared with only 38% of the 32 subjects in the Control Group (AIMS communication behaviors are ranked highly shortly after training, but this prioritization is not retained over time. Future studies of the utility of structured vaccine hesitancy communication strategies should incorporate repetition and spaced retrieval to enhance retention and ensure deployment in practice.Shanna M. Barton, MD, M.Sc., Sanofi Pasteur: Grant/Research Support Gary S. Marshall, MD, GSK: Advisor/Consultant|GSK: Grant/Research Support|GSK: Honoraria|Merck: Advisor/Consultant|Merck: Grant/Research Support|Merck: Honoraria|Moderna: Advisor/Consultant|Moderna: Grant/Research Support|Moderna: Honoraria|Pfizer: Advisor/Consultant|Pfizer: Grant/Research Support|Pfizer: Honoraria|Sanofi: Advisor/Consultant|Sanofi: Grant/Research Support|Sanofi: Honoraria|Seqirus: Advisor/Consultant|Seqirus: Grant/Research Support|Seqirus: Honoraria"}
+{"text": "Journal of Pharmaceutical Health Care and Sciences (2023) 9:1310.1186/s40780-023-00281-2The original publication of this article contained an incorrect title.The correct and incorrect title are listed below, the original article has been updated.Rhabdomyolysis caused by interaction between rosuvastatin and vadadustat: a case control studyRhabdomyolysis caused by interaction between rosuvastatin and vadadustat: a case report"}
+{"text": "Correction: Journal of Orthopaedic Surgery and Research (2022) 17:544 10.1186/s13018-022-03434-5Following publication of the original article , the autThe incorrect author name is: Jingxing ZhaoThe correct author name is: Jingxin ZhaoThe author group has been updated above and the original article has been"}
+{"text": "Caption: Section of the digestive gland of a cockle infected with Marteilia cochillia.Credit: Dr. Antonio Villalba."}
+{"text": "To the editor,We thank Dr. Sasaki, Dr. Suzaki, and Dr. Ueki for their interest and comments on the letter entitled \u201cPredictive significance of Charcot\u2010Leyden crystal structures for nasal polyp recurrence\u201d,However, we readily acknowledge that detection of CLCs by H&E staining has some issues as proposed by Ueki et\u00a0al. First, we believe that the most critical factor determining staining success is the optimal eosin pH value. Actually, many commercial eosin solutions could detect eosinophils perfectly but not CLCs. It should also be noted that CLCs identified by H&E staining may be interfered by other eosinophilic components, which can be improved by optimizing the eosin solution pH value. Second, CLCs count may vary depending on the different fields of view. In fact, CLCs are preferentially detected in the nasal mucosa tissue that is in close proximity to denuded epithelium and eosinophil degranulation.Yurong Bai: Data curation (lead); Formal analysis (lead); Methodology (lead); Writing \u2013 original draft (lead). Wenyi Chen: Data curation ; Methodology ; Validation . Weifeng Kong: Methodology (supporting); Software; . Xin Luo: Methodology (supporting); Software (supporting). Jingyuan Chen: Methodology (supporting); Software . Xinyue Wang: Methodology (supporting); Software . Qingwu Wu: Methodology (supporting); Software . Jianning Chen: Methodology (supporting); Resources . Qintai Yang: Funding acquisition (supporting); Investigation ; Project administration ; writing \u2013 review & editing . Yana Zhang: Conceptualization (lead); Funding acquisition (lead); Investigation ; Project administration (lead); Resources (lead); Supervision (lead); writing \u2013 original draft (supporting); writing \u2013 review and editing (lead).None.The National Natural Science Foundation of China (NSFC), Grant/Award Numbers: 8217114, U20A20399, 82271148; the Natural Science Foundation of Guangdong Province, Grant/Award Number: 2022A1515011787; the Science and Technology Program of Guangzhou, Grant/Award Number: 202201020402; the Key\u2010area Research and Development Program of Guangzhou Province, Grant/Award Number: 2020B0101130015; Fundamental Research Funds for the Central University, Sun Yat\u2010sen University, Grant/Award Number: 23qnpy141"}
+{"text": "Penicillium roqueforti.Caption: A slice of a French Termignon blue cheese naturally colonized by Credit: Tatiana Giraud."}
+{"text": "Correction: Journal of Medical Case Reports (2023) 17:434 10.1186/s13256-023-04160-0Following publication of the original article , an erroThe section currently reads:FundingNo fund received for this article.The section should read:FundingFunding Open Access funding provided by the Qatar National Library.The funding section has been updated above and the original article has been"}
+{"text": "Septic shock studies have identified that delay to the initial antimicrobial administration is the strongest predictor of survival. With every hour of delay mortality increases by 7.6%. The time from the written antibiotic order to intravenous administration or \u201chang-time\u201d can be several hours due to logistics within the hospital. As the optimization of the antibiotic administration involves the participation of a team in the ICU, Antimicrobial Stewardship Programs (ASP) play an important role in reducing this gap. The present study sought to determine the time between the prescription and the infusion of the antibiotic in 7 Latin American ICU that are implementing ASPs.Prevalence study between 2021-2022 in 7 hospitals . Hang-time was defined as the time elapsed from the written antibiotic order to actual IV administration. Hang-time compliant was defined as antibiotic administration within an elapsed time of 1 h from the written antibiotic order. Any patient with a suspected infection in the ICU , who had a first dose of the antibiotic was included. Patients with incomplete medical records or who died before the administration of the first dose were excluded. For the descriptive analysis, the average of the time difference between the formulation versus the administration of the treatment was determined, as well as the adherence to the administration of the antibiotic in the first hour after being formulated.1207 prescriptions were evaluated. The most common diagnose was sepsis and septic shock from urinary and pulmonary source. Hangtime adherence was 38.5% (22.5%-74.0%). The time range was 2 to 1080 minutes.HANGTIME RESULTS BY COUNTRYThe administration of antibiotics during the first hour in ICU patients was not an adherent practice despite being a risk factor for mortality. A stewardship process improvement protocol with physicians, pharmacists, and nursing collaboration has been developed to improve the hang-time of antibiotics in patients with sepsis. ASPs with limited resources should consider implementing hang-time protocols. Phase 2 will measure compliance of the hang-time protocol and mortality.Christian Pallares, MD, MSc, 3M: Advisor/Consultant|3M: Honoraria|MSD: Advisor/Consultant|MSD: Grant/Research Support|MSD: Honoraria|Pfizer: Advisor/Consultant|Pfizer: Grant/Research Support|Pfizer: Honoraria|Westqu\u00edmica: Advisor/Consultant|Westqu\u00edmica: Grant/Research Support|Westqu\u00edmica: Honoraria Jorge Chaverri, n/a, Pfizer: Advisor/Consultant|Pfizer: Honoraria Mar\u00eda Virginia Villegas, n/a, MSD: Advisor/Consultant|MSD: Grant/Research Support|MSD: Honoraria|Pfizer: Advisor/Consultant|Pfizer: Grant/Research Support|Pfizer: Honoraria|Westqu\u00edmica: Advisor/Consultant|Westqu\u00edmica: Grant/Research Support|Westqu\u00edmica: Honoraria"}
+{"text": "Correction to: Current Hypertension Reports 10.1007/s11906-023-01264-2The article \u201cDoes Renal Denervation a Reasonable Treatment Option in Hemodialysis-Dependent Patient with Resistant Hypertension? A Narrative Review\u201d, was originally published electronically on the publisher\u2019s internet portal on 6 September 2023 with error on the tagging of the author names (first names and last names were interchanged) and affiliation of the third author.First Name: AlbertoLast Name: MazzaAuthor 1First Name: FabioLast Name: Dell'AvvocataAuthor 2First Name: GioiaLast Name: TorinAuthor 3First Name: FrancescaLast Name: BulighinAuthor 4First Name: YuriLast Name: BattagliaAuthor 5First Name: FulvioLast Name: FioriniAuthor 6The correct tagging of the author names are as follows:Gioia Torin (third author) should be affiliated to ESH Excellence Hpertension Centre and Dept. of Internal Medicine, Santa Maria della Misericordia General Hospital, AULSS 5 Polesana, Rovigo, Italy.The original article has been corrected."}
+{"text": "Correction to: BMC Health Services Research (2023) 23:106910.1186/s12913-023-10066-wFollowing publication of the original article , the autThe incorrect author name is: Branden McCormack.The correct author name is: Brendan McCormack.The author group has been updated above and the original article has been"}
+{"text": "Details of correction: reverse order of first and second authors.Existing text: Federica Turati, Marta RossiCorrected text should read: Marta Rossi, Federica Turati"}
+{"text": "Correction to: Acta Neuropathologica Communications (2023) 11:11110.1186/s40478-023-01609-7Following publication of the original article , the autThe incorrect author names are: Laura Kuhlman and Andrew Mackling.The correct author names are: Laura Kuhlmann and Andrew Macklin.The author group has been updated above and the original article has been"}
+{"text": "Caption: An infant of Macaca mulatta vestita is groveling on adult\u2010female monkey's back in Jiacha Gorge on the Yarlung Zangbo River, Tibet, China.Credit: Dayong Li."}
+{"text": "Following publication of the original article , we haveOriginally published phrase:From top left: All-cause deaths; deaths from external causes; deaths from neoplasms; deaths from diseases of the nervous system and the sense organs. From bottom left: Deaths from circulatory diseases; deaths from mental and behavioural disorders; deaths from diseases of the respiratory system; deaths from other causes.Corrected caption phrase:Panel a: all-cause deaths; Panel b: deaths from external causes; Panel c: deaths from neoplasms; Panel d: deaths from diseases of the nervous system and the sense organs; Panel e: deaths from circulatory diseases; Panel f: deaths from mental and behavioural disorders; Panel g: deaths from diseases of the respiratory system; Panel h: Deaths from other causes.The original article has been corrected."}
+{"text": "BJS Open 2023;7: https://doi.org/10.1093/bjsopen/zrad024This is a correction to: Bin Li and others, Surgical treatment of hilar cholangiocarcinoma: retrospective analysis. Fig. 2. This is the correct version:In the originally published version of this article, there were errors in the use of \u2018>\u2019 and \u2018<\u2019 symbols in the RLV/TLV presentation of the site area in instead of:The figure has been emended in the article."}
+{"text": "There were multiple errors in the Author Contributions statement. The Author Contributions statement should read: \"Conceived and designed the experiments: SJD LAS DPB CJK. Performed the experiments: SJD LAS DPB CJK.Analyzed the data: SJD TP LAS DPB CJK. Wrote the paper: SJD MIT TP LAS DPB CJK.\""}
+{"text": "HLA genes. In this study, we sought to use SNP genotyping in a large patient collection to identify sJIA susceptibility loci.Systemic juvenile idiopathic arthritis (sJIA) is a complex inflammatory disease whose etiology remains unknown. sJIA is distinguished from other forms of juvenile idiopathic arthritis (JIA) by its characteristic features including requisite quotidian fever and salmon-colored, evanescent skin rash, but also by an absence of autoantibodies. Based on its unique phenotype among JIA subtypes, it has been suggested that sJIA may be autoinflammatory rather than autoimmune in nature, and consistent with this, sJIA is distinct among JIA subtypes for its inconsistently detectable association with p below 0.001, producing a dataset of 690,672 SNPs in 576 cases and 426 controls. To address population stratification, we employed principal components (PC) analysis to identify and exclude samples with differing genetic backgrounds. We excluded 60 sJIA samples on this basis, reducing the size of the collection for final analysis to 516 cases and 426 controls. After correcting for the top 10 PCs, the genomic inflation factor reflected minimal population stratification (\u03bbGC = 1.01).We genotyped 576 children fulfilling ILAR criteria for systemic arthritis and 366 control subjects free of sJIA or autoimmune disease. The collection included 205 cases and 210 controls from Cincinnati Children\u2019s Hospital, 185 cases from the repository at University of Manchester, 56 cases and 60 controls from University of Genova, 54 cases from Hacettepe University, 42 cases from the University of Utah, 34 cases from Stanford University, and 96 controls from Istanbul University. SNP genotyping was performed using Illumina Omni1M Quad v1.0 beadchips and iScan platform. Omni1M beadchip data from 60 unrelated CEU HapMap individuals were obtained through Illumina\u2019s iControlDB. SNP associations were evaluated using SNP & Variation Suite 7, excluding SNPs with call rates below 95%, minor allele frequencies below 0.05, or Hardy-Weinberg Equilibrium HLA-DRB1 with PC-corrected associations that exceeded a stringent threshold for genome-wide significance (p < 5 x 10-8). These SNPs were part of a larger group of 45 SNPs with p < 5 x 10-5 in the MHC class II gene cluster. The effect size of the sJIA-associated SNPs ranged from odds ratios of 1.45 to 1.65. Notably, the effect size of this association is modest, relative to the effect of associated HLA genes in other JIA subtypes and other autoimmune diseases. Figure We identified 12 SNPs within MHC of sJIA patients, albeit with more modest effect sizes than those detected in other JIA subtypes. This suggests at least some contribution of autoimmunity to the pathogenesis of this complex disorder.A large collaborative effort to identify sJIA patients and a careful genetic matching strategy have allowed us to clearly detect an association signal within the class II region of the Michael Ombrello: None; Elaine F. Remmers: None; Alexei A. Grom: None; Wendy Thomson: None; Alberto Martini: None; Marco Gattorno: None; Seza Ozen: None; Ahmet Gul: None; John F. Bohnsack: None; Andrew S. Zeft: None; Elizabeth D. Mellins: None; Jane L. Park: None; Claudio Len: None; Colleen Satorius: None; Ricardo A.G. Russo: None; Terri H. Finkel: None; Rae S.M. Yeung: None; Rayfel Schneider: None; Sampath Prahalad: None; David N. Glass: None; Roger C. Allen: None; Nico Wulffraat: None; Pierre Quartier: None; Maria Odete E. Hilario: None; Kevin Murray: None; Sheila Oliveira: None; Jordi Anton: None; Anne Hinks: None; Eleftheria Zeggini: None; Carl Langefeld: None; Susan Thompson: None; Jeffrey Chaitow: None; Justine Ellis: None; Davinder Singh: None; Andre Cavalvanti: None; Blanca Bica: None; Flavio Sztajnbok: None; Hakon Hakonarson: None; Katherine A. Siminovitch: None; Kirsten Minden: None; Peter Haas: None; Tobias Schwarz: None; Daniel L. Kastner: None; Patricia Woo: None."}
+{"text": "AbstractTettigettalnamariae Quartau & Boulard 1995 is recorded for the first time in Spain. Thought to be endemic to Portugal (occurring in the southern province of Algarve), the present paper adds its distribution to southern Spain, being an Iberian endemism. The acoustic signals of the new specimens collected were recorded in different localities of Huelva province, in Andalusia during August 2012. According to their present known distribution, specimens of Tettigettalnamariae tend to be sparsely distributed in small range populations in southern Iberian Peninsula, favouring wooded areas with Pinuspinea. Hemiptera: Cicadoidea) constitute a successful group of insects where males typically communicate during pair formation and courtship through acoustic distinctive signals have been described and recorded so far in Portugal only . Identification was based on the collection of specimens and the recording of male acoustic signals typical of the species.As an outcome of intensive fieldwork in Portugal and Spain for species of the genus The field survey was conducted daily from 10:00 h to 19:00 h during sunny weather with temperatures ranging from 29\u00b0 to 32\u00b0 C. Searches were conducted by car while driving at a reduced speed, allowing the detection of the songs of calling males. Their acoustic signals were recorded at the collecting site using a Marantz PMD 661 Portable SD recorder (20 Hz \u2013 24 kHz) connected to a Telinga Pro 7 Dat-mic microphone (Twin Science) following the procedures given in Faculty of Sciences, University of Lisbon (FCUL). Collected specimens were stored dry and a front leg was preserved in 100% ethanol for DNA isolation.Geographical coordinates were determined with a GPS for each site where male songs were heard and where specimens were collected. Species confirmation was accomplished with time and frequency analysis of sound recordings using the software Avisoft Sas-Lab Pro as in prQuartau & Boulard, 1995Type status:Other material. Occurrence: recordedBy: Raquel Mendes; individualCount: 3; sex: male; Location: country: Espana; stateProvince: Andaluzia; verbatimLocality: Cartaya; verbatimLatitude: 37\u00b015'44.2\"N; verbatimLongitude: 7\u00b007'48.9\"W; Event: samplingProtocol: Acoustic recording; eventDate: 2012-08-15T17:00Z; Record Level: collectionID: 3372;3373;3374; institutionCode: FCUL; collectionCode: Entomology_PCSType status:Other material. Occurrence: recordedBy: Raquel Mendes; Vera Nunes; individualCount: 3; sex: male; Location: country: Espana; stateProvince: Andaluzia; verbatimLocality: Cartaya; verbatimLatitude: 37\u00b015'44.2\"N; verbatimLongitude: 7\u00b007'48.9\"W; Event: samplingProtocol: Acoustic recording; eventDate: 2012-08-15T18:00Z; Record Level: collectionID: 3375;3376;3377; institutionCode: FCUL; collectionCode: Entomology_PCSType status:Other material. Occurrence: recordedBy: Vera Nunes; individualCount: 1; sex: male; Location: country: Espana; stateProvince: Andaluzia; verbatimLocality: Cartaya; verbatimLatitude: 37\u00b015'44.2\"N; verbatimLongitude: 7\u00b007'48.9\"W; Event: samplingProtocol: Sweep net capture; eventDate: 2012-08-15T17:45Z; Record Level: collectionID: 3378; institutionCode: FCUL; collectionCode: Entomology_PCSType status:Other material. Occurrence: recordedBy: Raquel Mendes; Vera Nunes; individualCount: 1; sex: male; Location: country: Espana; stateProvince: Andaluzia; verbatimLocality: Moguer; verbatimLatitude: 37\u00b012'30.7\"N; verbatimLongitude: 6\u00b046'46.1\"W; Event: samplingProtocol: Acoustic recording; eventDate: 2012-08-16T11:50Z; Record Level: collectionID: 3379; institutionCode: FCUL; collectionCode: Entomology_PCSType status:Other material. Occurrence: recordedBy: Raquel Mendes; Vera Nunes; individualCount: 1; sex: male; Location: country: Espana; stateProvince: Andaluzia; verbatimLocality: Moguer; verbatimLatitude: 37\u00b012'30.7\"N; verbatimLongitude: 6\u00b046'46.1\"W; Event: samplingProtocol: Acoustic recording; eventDate: 2012-08-16T14:40Z; Record Level: collectionID: 3380; institutionCode: FCUL; collectionCode: Entomology_PCSType status:Other material. Occurrence: recordedBy: Vera Nunes; individualCount: 1; sex: male; Location: country: Espana; stateProvince: Andaluzia; verbatimLocality: Almonte; verbatimLatitude: 37\u00b013'43.0\"N; verbatimLongitude: 6\u00b033'51.1\"W; Event: samplingProtocol: Acoustic recording; eventDate: 2012-08-16T15:45Z; Record Level: collectionID: 3382; institutionCode: FCUL; collectionCode: Entomology_PCSTettigettalnamariae specimens in Spain.Our analysis of the morphological and acoustic data confirmed the presence of Tettigettalnamariae tending to favour wooded areas of Pinuspinea near the sea in the southern Iberian Peninsula (Figs Specimens were collected and recorded in different locations from Huelva province in Andalusia around the following localities: Cartaya, Aljaraque, Moguer, Mazag\u00f3n, Almonte and Hinojos Table . Recordsula Figs , 2.Tettigettalnamariae specimens have a broad spectrum near 6 - 16.5 kHz with maximum energy around 12 kHz. For time domain variables, our results indicated an echeme duration ranging from 0.02 to 0.10s, with an average value of 0.06s. For the echeme period we found a range of 0.16 to 0.54s and average of 0.32s.Acoustic analysis Table , Fig. 3 Tettigettalnamariae was a Portuguese endemic cicada, seeming to be confined to central Algarve, close to the sea (Tettigettalnamariae given the restricted habitat range of the known populations. The discovery of Tettigettalnamariae populations in Spain means that the species is not confined to the central wooded area of Algarve, close to the sea, having instead a wider distribution extending to Andalusia. The new populations of Tettigettalnamariae reported here constitute an important addition to the scarce knowledge of this rare species. However, Tettigettalnamariae distribution remains heavily fragmented and discontinuous. Consequently the species is still vulnerable to habitat loss caused by changes in land use or forest fires that often jeopardize Pinuspinea woods during the summer, when cicada adult males are active. These threats may cause the decline and eventual extinction of local populations of cicadas and are especially worrying for small range species such as Tettigettalnamariae (Previous studies suggested that the sea which isamariae .With the present data, obtained through our 2012 fieldwork, a new cicada species is listed for Spain and a new endemism for Iberia.Cicadetta (e.g.Moreover, the current species list available for the cicadas from Iberian Peninsula are likely to still be incomplete. As the male acoustic signals in cicadas are highly diagnostic for the separation of closely related species , it is qetta e.g.. All thi"}
+{"text": "Several authors were omitted from the contributions to the \"Wrote the paper\" section. The correct Author Contributions are: Conceived and designed the experiments: CMC APM DAE EAW KEWJ. Performed the experiments: CMC PMW APM WKR AB. Analyzed the data: ERG CMC PMW RD WKR KEWJ. Contributed reagents/materials/analysis tools: APM WKR DAE KEWJ. Wrote the paper: ERG RAD EAW KEW."}
+{"text": "The word \"arsenal\" was misspelled in the title of the article. The correct title is: \"Molecular Evolution of Vertebrate Neurotrophins: Co-Option of the Highly Conserved Nerve Growth Factor Gene into the Advanced Snake Venom Arsenal.\" The correct Citation is: Sunagar K, Fry BG, Jackson TNW, Casewell NR, Undheim EAB, et al. (2013) Molecular Evolution of Vertebrate Neurotrophins: Co-Option of the Highly Conserved Nerve Growth Factor Gene into the Advanced Snake Venom Arsenal. PLoS ONE 8(11): e81827. doi:10.1371/journal.pone.0081827."}
+{"text": "There were errors in the name of the thirteenth author. The correct name is: Nhu Thi Quynh Nguyen.On two occasions in the Abstract, the letter \"M\" was dropped from words.Introduction: icroscopic Observation Drug Susceptibility (MODS)...\" should be \"Introduction: Microscopic Observation Drug Susceptibility (MODS)...\"\"Conclusion: ODS is a sensitive...\" should be corrected as \"Conclusion: MODS is a sensitive...\" \""}
+{"text": "T. harzianum are well known for their biocontrol activity against many plant pathogens. However, there is a lack of studies concerning its use as a biological control agent against F. solani, a pathogen involved in several crop diseases. In this study, we have used subtractive library hybridization (SSH) and quantitative real-time PCR (RT-qPCR) techniques in order to explore changes in T. harzianum genes expression during growth on cell wall of F. solani (FSCW) or glucose. RT-qPCR was also used to examine the regulation of 18 genes, potentially involved in biocontrol, during confrontation between T. harzianum and F. solani.The species of T. harzianum growth on FSCW or glucose. We identified various genes of biotechnological value encoding to proteins which function such as transporters, hydrolytic activity, adherence, appressorium development and pathogenesis. Fifteen genes were up-regulated and sixteen were down-regulated at least at one-time point during growth of T. harzianum in FSCW. During the confrontation assay most of the genes were up-regulated, mainly after contact, when the interaction has been established.Data obtained from two subtractive libraries were compared after annotation using the Blast2GO suite. A total of 417 and 78 readable EST sequence were annotated in the FSCW and glucose libraries, respectively. Functional annotation of these genes identified diverse biological processes and molecular functions required during T. harzianum expressed different genes when grown on FSCW compared to glucose. It provides insights into the mechanisms of gene expression involved in mycoparasitism of T. harzianum against F. solani. The identification and evaluation of these genes may contribute to the development of an efficient biological control agent.This study demonstrates that Trichoderma harzianum is a soil-borne filamentous fungus that protects crop plants from attack by a range of pathogenic fungi \u2009\u00d7\u2009100 [ng Phred . Only se program . The fil)]\u2009\u00d7\u2009100 .T. harzianum grown in FSCW, and T. harzianum grown in glucose medium. Both conditions were sampled at three different time points . Statistical tests were performed when appropriate. Eighteen genes potentially involved in biocontrol were selected from the FSCW-library and 10 genes from Glc-library . Amplification efficiency was then calculated from the given slopes in the IQ5 Optical system Software v2.0 [The expression levels of 28 genes were estimated from the threshold cycle using the 2T method . In ordeare v2.0 . All calF. solani cell wall library; Glc-library: Glucose library.asm: acid sphingomielinase; aoc: amine oxidase; aqp: aquaporin; cfem: eight cysteine-containing domain; chk1: checkpoint-like protein; chit: chitinase 33; cpox: coproporphyrinogen oxidase; CWDE: Cell Wall Degrading Enzymes; Duf: duf895 domain membrane protein; Endo: Endochitinase 42; Eno: Enolase; Exo: Exo-rhamnogalacturonase; Gapd: Glyceraldehyde 3- phosphate dehydrogenase; Glyc: Glycosyl hydrolase; hsp98: heat shock protein; ht: hexose transporter-like protein; mbl2: mbl2-like secreted; norA: norsolorinic acid reductase; ptr2: peptide transporter; psd: phosphatidylserine decarboxylase family protein; pld: phospholipase d; pdc: pyruvate decarboxylase; qid: QID74 protein; sag: senescence-associated protein; ser: serine protease; sck1: serine threonine-protein kinase; c2h2: zinc finger domain protein; zt: zinc-regulated transporter; bgn: \u03b2-1,3-endoglucanase; FSCW-library: No competing financial interests exist.PMV, ASS and SJLS performed the construction of the cDNA gene libraries and sequenced the ESTs. PMV and ASGC designed the bioinformatics analysis. PMV and RNS performed the RT-PCR analyses and evaluation of the data. PMV drafted the manuscript. ASGC and CJU were responsible for the experimental design and revised the manuscript. All authors approved the final version of the paper.Relative expression profiles of genes identified in Trichoderma harzianum (FSCW and Glc libraries) at different times of exposure to Fusarium solani cell wall. The data is presented with log scale for better visualization.Click here for fileRelative expression profiles of genes identified T. harzianum during interaction with F. solani. The data is presented with log scale for better visualization.Click here for file"}
+{"text": "This study describes the natural history of Barth syndrome (BTHS).The medical records of all patients with BTHS living in France were identified in multiple sources and reviewed.TAZ mutations were observed in 15 pedigrees. The estimated incidence of BTHS was 1.5 cases per million births (95%CI: 0.2\u20132.3). The median age at presentation was 3.1 weeks , and the median age at last follow-up was 4.75 years . Eleven patients died at a median age of 5.1 months; 9 deaths were related to cardiomyopathy and 2 to sepsis. The 5-year survival rate was 51%, and no deaths were observed in patients \u22653 years. Fourteen patients presented with cardiomyopathy, and cardiomyopathy was documented in 20 during follow-up. Left ventricular systolic function was very poor during the first year of life and tended to normalize over time. Nineteen patients had neutropenia. Metabolic investigations revealed inconstant moderate 3-methylglutaconic aciduria and plasma arginine levels that were reduced or in the low-normal range. Survival correlated with two prognostic factors: severe neutropenia at diagnosis (<0.5 \u00d7 109/L) and birth year. Specifically, the survival rate was 70% for patients born after 2000 and 20% for those born before 2000.We identified 16 BTHS pedigrees that included 22 patients. This survey found that BTHS outcome was affected by cardiac events and by a risk of infection that was related to neutropenia. Modern management of heart failure and prevention of infection in infancy may improve the survival of patients with BTHS without the need for heart transplantation. T studies ,14,22-27database . AllelicNotably, both in our cohort and in other BTHS patients , 3-methyFinally, the natural course of this disease illustrates the benefits of an interdisciplinary approach. In particular, a diagnosis of cardiomyopathy in a newborn or infant should lead to repeated tests to determine whether low ANC is present. The reverse is also true: It may be worth adding cardiac evaluation to the workup of the diagnosis of a chronic neutropenia suspected to be congenital. This diagnostic work-up should be performed in close cooperation with geneticists and metabolic disease specialists.TAZ gene; UPN: Unique patient number; WBC: White blood cell countACE-I: Angiotensin-converting enzyme inhibitor; ALC: Absolute lymphocyte count; AMC: Absolute monocyte count; ANC: Absolute neutrophil count; BSF: Barth Syndrome Foundation; BTHS: Barth syndrome; CBC: Complete blood count; CL: Cardiolipin; DCM: Dilated cardiomyopathy; GCSF: Granulocyte colony-stimulating factor; G6PC3: Glucose-6-phosphatase catalytic subunit 3 gene; Hb: Haemoglobin; HCM: Hypertrophic cardiomyopathy; IUGR: Intrauterine growth retardation; LV: Left ventricle; LVEDD: Left ventricle end diastolic diameter; LVEF: Left ventricle ejection fraction; LVNC: Left ventricular noncompaction; MLCL: Monolysocardiolipin; PCR: Polymerase chain reaction; QTc: Corrected QT interval; SD: Standard deviation; SF: Shortening fraction; TAZ: The authors declare no competing interests.A steering committee that included JD, DB, ASL, CO, AC and MR planned the study. ASL and RT carried out the molecular genetic studies, and CO and AC carried out the metabolic studies. DB analysed the data pertaining to the cardiac evaluations. CR collected the data and drafted the manuscript. JD was responsible for the statistical analysis and for the organization of the French SCN registry. All authors read and approved the final manuscript.Review of all published studies about Barth syndrome patients.Click here for fileFamily trees showing the 16 Barth syndrome pedigrees reported in this study.Click here for file"}
+{"text": "There were errors in the Author Contributions section. The correct contributions are: Conceived and designed the experiments: WS JF. Performed the experiments: WS. Analyzed the data: WS. Interpreted the data: JF. Designed the simulations: CK WL. Performed and analyzed the simulations: CK. Wrote the paper: WS CK JF."}
+{"text": "During early vertebrate development, various small non-coding RNAs (sRNAs) such as MicroRNAs (miRNAs) and Piwi-interacting RNAs (piRNAs) are dynamically expressed for orchestrating the maternal-to-zygotic transition (MZT). Systematic analysis of expression profiles of zebrafish small RNAome will be greatly helpful for understanding the sRNA regulation during embryonic development.We first determined the expression profiles of sRNAs during eight distinct stages of early zebrafish development by sRNA-seq technology. Integrative analyses with a new computational platform of CSZ demonstrated an sRNA class transition from piRNAs to miRNAs as development proceeds. We observed that both the abundance and diversity of miRNAs are gradually increased, while the abundance is enhanced more dramatically than the diversity during development. However, although both the abundance and diversity of piRNAs are gradually decreased, the diversity was firstly increased then rapidly decreased. To evaluate the computational accuracy, the expression levels of four known miRNAs were experimentally validated. We also predicted 25 potentially novel miRNAs, whereas two candidates were verified by Northern blots.http://csz.biocuckoo.org.Taken together, our analyses revealed the piRNA to miRNA transition as a conserved mechanism in zebrafish, although two different types of sRNAs exhibit distinct expression dynamics in abundance and diversity, respectively. Our study not only generated a better understanding for sRNA regulations in early zebrafish development, but also provided a useful platform for analyzing sRNA-seq data. The CSZ was implemented in Perl and freely downloadable at: Small non-coding RNAs (sRNAs) of about 20\u2009~\u200930 nucleotides (nt) play an essential role in a variety of animal developmental processes, such as embryonic, neuronal, muscle, and germline development -3. Microet al. quantitatively analyzed sRNA expression profiles in 256-cell (2.5 hpf), sphere (4 hpf), shield (6 hpf), and 1 dpf (days post fertilization) stages of early zebrafish development . The most widely used radial basis function (RBF) was chosen. The penalty parameter C and RBF kernel parameter \u03b3 were exhaustively searched as 8.0 and 0.03125, respectively.The LIBSVM package was used for training , while others are called false positives (FP). Among the predicted negative results obtained by ZmirP, real negatives are called true negatives (TN), while the others are called false negatives (FN). In a classification problem, the specificity (Sp), sensitivity (Sn), accuracy (Ac) and Mathew\u2019s correlation coefficient (MCC) are most widely used to evaluate the prediction system. They are defined as:Among the predicted positive results obtained by ZmirP, the real positives are called true positives (AB type) were maintained under standard library conditions and the embryonic stages in this study were as described .k-nearest neighbors; ZmirP: Zebrafish miRNA prediction; CSZ: Characterization of small RNAome for zebrafish; RBF: Radial basis function; TP: True positive; FP: False positive; TN: True negative; Sp: Specificity; Sn: Sensitivity; Ac: Accuracy; MCC: Mathew\u2019s correlation coefficient; ROC: Receiver Operating Characteristic; qRT-PCR: quantitative real-time PCR; RPM: reads per million; Non-repeat-associated piRNAs: piRNAs that were not annotated as repeat sequences; Repeat-associated piRNAs: piRNAs that could be mapped to repetitive sequences.sRNAs: small non-coding RNAs; miRNAs: MicroRNAs; piRNAs: Piwi-interacting RNAs; pri-miRNAs: primary miRNA molecules; dsRNAs: double-stranded RNAs; RISC: RNA-induced silencing complex; hpf: hours post fertilization; MZT: Maternal-to-zygotic transition; NGS: Next-generation sequencing; dpf: days post fertilization; triplet elements: local structure-sequence features; SVMs: Support vector machines; RF: Random forest; MFE: Minimum of free energy; kNN: The authors declare that they have no competing interests.YX and HJ designed the project; YY, YX developed the algorithm and analyzed data; QY, LM and QJ performed experiments; WD, ZL, YZ and JR extensively shared and discussed data; YX, YY and QY wrote the manuscript. All authors read and approved the final manuscript.The detailed data statistics for different type of reads in eight libraries.Click here for fileThe 218 known zebrafish miRNAs identified from the sRNA-seq data, with corresponding mappable reads.Click here for fileThe 25 predicted miRNAs.Click here for fileThe secondary structures of 25 potentially novel miRNAs.Click here for fileThe piRNA clusters identified from the sRNA-seq data.Click here for fileThe distribution of different types of sRNAs in data from Wei\u2019s data . (A) TheClick here for file"}
+{"text": "There were errors in the published Author Contributions. The correct Author Contributions are: Conceived and designed the experiments: WAB AV TLH DJG. Performed the experiments: WAB MS HZ. Analyzed the data: WAB AV TLH DAK DJG. Contributed reagents/materials/analysis tools: TLH DAK DJG. Wrote the paper: WAB."}
+{"text": "AbstractCasuarinicolaaustralis Taylor, 2010 is reported for the first time, based on new material from Auckland. This is also the first record of the genus from New Zealand.The presence in New Zealand of the triozid Casuarinicolaaustralis Taylor, 2010 was described from Australia, where it is the most common and widespread member of its genus, being widely distributed in New South Wales, Queensland, South Australia, Victoria and Western Australia. Like its congeners, it is restricted to host trees of the genus Casuarina. Casuarinicolaaustralis occurs on all Australian species of Casuarina, including Casuarinacunninghamiana and Casuarinaglauca. Both these species of Casuarina are exotic and present in the wild in New Zealand, according to the New Zealand Organisms Register (NZOR), as well as present in cultivation. Casuarinicola has not been reported (by name) previously from N.Z.Taylor, 2010Type status:Other material. Occurrence: recordedBy: Stephen Thorpe; sex: 1 male, 1 female; Location: country: New Zealand; verbatimLocality: Mechanics Bay, Auckland City; verbatimElevation: 0-5 m; verbatimLatitude: 36.8474938105S; verbatimLongitude: 174.7869624545E; Event: eventDate: 6 January 2013; Record Level: institutionCode: Auckland MuseumType status:Other material. Occurrence: recordedBy: Stephen Thorpe; individualCount: 1; sex: female; Location: country: New Zealand; verbatimLocality: Felton Mathew Avenue, Saint Johns, Auckland; verbatimLatitude: 36.8741794382S; verbatimLongitude: 174.8506522179E; Event: eventDate: 2013-02-20; Record Level: institutionCode: Auckland MuseumType status:Other material. Occurrence: recordedBy: Stephen Thorpe; individualCount: many; sex: males, females; Location: country: New Zealand; verbatimLocality: Thomas Bloodworth Park, Auckland; verbatimElevation: 0-5 m; verbatimLatitude: 36.8652411423S; verbatimLongitude: 174.7900235653E; Event: eventDate: 2013-02-26; Record Level: institutionCode: Auckland MuseumCasuarinaglauca trees growing in the vicinity of Ports of Auckland at Mechanics Bay. A few psylloids were observed, including a pair in copula, which I collected. The specimens will be vouchered in Auckland Museum. They are easily identified as Casuarinicolaaustralis Taylor in Casuarinicolaaustralis therein, except only that the second and third bands on the female fore wings of my specimen are narrowly joined. Such minor variation is entirely expected for insect colour patterns, and the pattern is still by far closest to that of typical Casuarinicolaaustralis than it is to any other species of Casuarinicola. I can find no other differences. I therefore recommend that Casuarinicolaaustralis be added to the New Zealand Organisms Register (NZOR) as present in the wild. Its \"origin\" is \"exotic\". Subsequently, on 20 Feb 2013, a further female specimen was found on a Casuarina tree in the Auckland suburb of Saint Johns. The second and third bands on the fore wings are separated, though narrowly (Fig. Casuarina trees at Thomas Bloodworth Park, Auckland. Several pairs were observed in copula. One female was collected. It has the second and third bands of one forewing joined, and of the other narrowly separated. On Casuarina in Auckland, there is also an apparently undescribed Australian species of Trioza, which is more common and widespread than Casuarinicolaaustralis.On 6 Jan 2013, I examined some"}
+{"text": "AbstractMicrogasterdeductor Nixon (1968) are recorded from the Nearctic (Canada and the United States) and the Palaearctic (Sweden), expanding significantly the range of the species. Microgasterdeductor seems to be widely distributed in boreal areas of the Holarctic, and it is characterized by unique morphological and molecular (COI) traits. Preliminary evidence, to be corroborated when more data is available, suggests that the species might have shifted northwards between 1950 and the present day.Four new localities for the species Microgasterdeductor Nixon (1968) is a very distinctive microgastrine wasp , and can be easily separated from all Holarctic species of Microgaster based on its tarsal claws, which have a lobe (Microgasterdeductor could be more widely distributed in sub-Arctic or Arctic areas of the Holarctic (Europe and North America).e a lobe Fig. 2)Microgaste a lobe . Howevere a lobe . That loMicrogasterdeductor is recorded from four additional localities, three in the Nearctic and one in the Palaearctic, which expand significantly the known range of the species. Morphological and molecular data that serve as diagnostic tools are presented, and the potential of a shift northwards of the species distribution is briefly discussed.Here http://www.boldsystems.org/).All the specimens studied for this paper are deposited in the Canadian National Collection of Insects (CNC), Ottawa, Canada. The only exception is one female deposited in the Biodiversity Institute of Ontario, which was not examined directly. Instead it was studied based on a single photo and associated DNA barcode, both freely available as public data in the Barcode of Life Data Systems (BOLD) were examined, although no specimen of Microgasterdeductor was found in those samples.Additionally, 40 specimens of The historical data on the distribution of the species was extracted from the original references and compNixon, 1968Type status:Holotype. Occurrence: individualCount: 1; sex: female; Location: country: Finland; stateProvince: Lapland; verbatimLocality: Ivalo; Record Level: institutionCode: BMNHType status:Paratype. Occurrence: individualCount: 2; sex: 1 female, 1 male; Location: country: Finland; stateProvince: Lapland; verbatimLocality: Ivalo; Record Level: institutionCode: BMNHType status:Paratype. Occurrence: individualCount: 1; sex: female; Location: country: Sweden; stateProvince: Lapland; verbatimLocality: Tornetr\u00e4sk; Record Level: institutionCode: BMNHType status:Other material. Occurrence: recordedBy: Jose Fern\u00e1ndez-Triana; individualCount: 3; sex: 1 female, 2 males; Location: country: United States; stateProvince: Alaska; verbatimLocality: Unalakleet; verbatimLatitude: 63.878889; verbatimLongitude: -160.789722; Event: eventDate: 27 Jun 1961, 28 Jun 1961, 4 Jul 1961; Record Level: institutionCode: CNCType status:Other material. Occurrence: recordedBy: Jose Fern\u00e1ndez-Triana; individualCount: 4; sex: females; Location: country: Sweden; stateProvince: Lapland; verbatimLocality: Abisko; verbatimLatitude: 68.35; verbatimLongitude: 18.816667; Event: eventDate: 29 Jul 1951, 9 Aug 1951, 15 Aug 1951; Record Level: institutionCode: CNCType status:Other material. Occurrence: recordedBy: Jose Fern\u00e1ndez-Triana; individualCount: 1; sex: female; Location: country: Sweden; stateProvince: Lapland; verbatimLocality: Abisko; verbatimElevation: 400 m; verbatimLatitude: 68.35; verbatimLongitude: 18.816667; Event: eventDate: 31 Jul 1960; Record Level: institutionCode: CNCType status:Other material. Occurrence: recordedBy: Jose Fern\u00e1ndez-Triana; individualCount: 1; sex: female; Location: country: Canada; stateProvince: Northwest Territories; verbatimLocality: Tuktoyaktuk; verbatimLatitude: 66.4445; verbatimLongitude: -133.032; Event: samplingProtocol: Sweeping; eventDate: 14 Jul 2010; Record Level: institutionCode: CNCType status:Other material. Occurrence: recordedBy: Jose Fern\u00e1ndez-Triana; individualCount: 1; sex: female; Location: country: Canada; stateProvince: Yukon Territory; verbatimLocality: Herschel Island; verbatimLatitude: 69.571; verbatimLongitude: -138.902; Event: eventDate: 29 Jul 2008; Record Level: institutionCode: BIOType status:Other material. Occurrence: recordedBy: Jose Fern\u00e1ndez-Triana; individualCount: 35; Location: country: Canada; stateProvince: Manitoba; verbatimLocality: 23 km E of Churchill; verbatimLatitude: 58.734; verbatimLongitude: -93.82; Event: eventDate: 12 Jul 1952, 18 Jul 1952, 23 Jul 1952, 28 Jul 1952, 29 Jul 1952, 3 Aug 1952, 5 Aug 1952; Record Level: institutionCode: CNCType status:Other material. Occurrence: recordedBy: Jose Fern\u00e1ndez-Triana; individualCount: 6; Location: country: Canada; stateProvince: Manitoba; verbatimLocality: Warkworth Creek nr. Churchill; verbatimLatitude: 58.375; verbatimLongitude: -93.875; Event: eventDate: 29 Jun 1952, 7 Jul 1952, 3 Aug 1952; Record Level: institutionCode: CNCMicrogasterdeductor in the Nearcitc include three localities: Unalakleet, Alaska (United States), and Tuktoyaktuk, Northwest Territories and Herschel Island, Yukon Territory (Canada). They expand considerably the distribution of the species in the Holarctic, and the Alaskan record suggests the possibility that the species might also be in Siberia, Russia . The new record in the Palaearctic is from Abisko in Sweden, a locality very close to that of Tornetr\u00e4sk, where one of the paratypes, included by Nixon but in others the pale spot is reduced differed from Microgasterdeductor by 46 base pairs (7%). Full data of the sequences and specimens can be freely accessed in BOLD from the public projects with codes CNCAS, HARC and WOMIA. The nucleotide sequence of the full barcode of Microgasterdeductor, in FASTA format is:The two specimens recently collected (2008 and 2010) rendered full DNA barcodes \u2013 a section of 658 base pairs of the mitochondrial COI gene. Among the material collected in Churchill in 1952, one specimen rendered about half a barcode (320 base pairs), and for another 33 specimens short sequences of 129-144 base pairs were obtained. All sequences were identical, with the shorter ones perfectly matching the corresponding section of the full barcode obtained from the two recent specimens. The closest sequences in BOLD species that this wasp parasitizes.Based on the studied molecular and morphological data, Microgasterdeductor, seems to suggest that its range might have shifted northwards recently. For example, the species was the most commonly collected Microgastrinae in Churchill during a period of intense study of insects in the area around the 1950's. However, it has never been found there again, in spite of even more intense collecting efforts carried out in the same locality between 2006\u20132011 , this project has not recovered the species either]. Conversely, the only two recent records of Microgasterdeductor correspond to Canadian localities at 69\u201370\u00b0N, which had similarly been sampled in the 1940\u20131960 without finding any record of the species. These two localities are 6\u201310\u00b0 north of the Canadian collections from the 1950\u20131960.The relatively scarce information about historical (1950\u20131960) and present (2008\u20132010) distribution of 006\u20132011 . Similardeductor ; also, bHowever, both historical and current day distribution patterns are likely to be biased by incomplete sampling efforts. The study of more specimens and more localities will be necessary before reaching any conclusions on this topic."}
+{"text": "There was an error in the Author Contributions. The correct Author Contributions are: Designed the experiments: JRK RKK SB. Performed the experiments: SB. Analyzed the data: JRK RKK SB. Contributed reagents/materials/analysis tools: SB RKK JRK. Wrote the paper: JRK RKK SB. This research work is the part of PhD thesis (SB) under the supervision of JRK RKK."}
+{"text": "There was an error in the Author Contributions Statement. The Author Contributions Statement should read: \"Conceived and designed the experiments: WG SD LP. Performed the experiments: WG HY SD. Analyzed the data: WG DW. Contributed reagents/materials/analysis tools: WG HY. Wrote the paper: WG HY.\""}
+{"text": "Clostridium sticklandii belongs to a cluster of non-pathogenic proteolytic clostridia which utilize amino acids as carbon and energy sources. Isolated by T.C. Stadtman in 1954, it has been generally regarded as a \"gold mine\" for novel biochemical reactions and is used as a model organism for studying metabolic aspects such as the Stickland reaction, coenzyme-B12- and selenium-dependent reactions of amino acids. With the goal of revisiting its carbon, nitrogen, and energy metabolism, and comparing studies with other clostridia, its genome has been sequenced and analyzed.C. sticklandii is one of the best biochemically studied proteolytic clostridial species. Useful additional information has been obtained from the sequencing and annotation of its genome, which is presented in this paper. Besides, experimental procedures reveal that C. sticklandii degrades amino acids in a preferential and sequential way. The organism prefers threonine, arginine, serine, cysteine, proline, and glycine, whereas glutamate, aspartate and alanine are excreted. Energy conservation is primarily obtained by substrate-level phosphorylation in fermentative pathways. The reactions catalyzed by different ferredoxin oxidoreductases and the exergonic NADH-dependent reduction of crotonyl-CoA point to a possible chemiosmotic energy conservation via the Rnf complex. C. sticklandii possesses both the F-type and V-type ATPases. The discovery of an as yet unrecognized selenoprotein in the D-proline reductase operon suggests a more detailed mechanism for NADH-dependent D-proline reduction. A rather unusual metabolic feature is the presence of genes for all the enzymes involved in two different CO2-fixation pathways: C. sticklandii harbours both the glycine synthase/glycine reductase and the Wood-Ljungdahl pathways. This unusual pathway combination has retrospectively been observed in only four other sequenced microorganisms.C. sticklandii genome and additional experimental procedures have improved our understanding of anaerobic amino acid degradation. Several specific metabolic features have been detected, some of which are very unusual for anaerobic fermenting bacteria. Comparative genomics has provided the opportunity to study the lifestyle of pathogenic and non-pathogenic clostridial species as well as to elucidate the difference in metabolic features between clostridia and other anaerobes.Analysis of the Clostridium consists of a large group of Gram-positive, anaerobic bacteria which belong to the Firmicute phylum . The genome annotation and features are available at http://www.genoscope.cns.fr/agc/microscope/Anaeroscope.The genome sequence reported in this article has been deposited in the EMBL database [EMBL:Rhodobacter capsulatus nitrogen fixation; Sec: selenocysteine; SLP: substrate-level phosphorylation; THF: tetrahydrofolate; WGS: whole genome shotgun.ATP: adenosine triphosphate; CoA or CoASH: coenzyme A; ETP: electron-transport phosphorylation; fd: ferredoxin; FMN: flavin mononucleotide; gcv-system: glycine cleavage system; LC-MS: Liquid Chromatography-Mass Spectrometry; MaGe: Magnifying Genomes; NADH: reduced nicotinamide adenine dinucleotide; NADPH: reduced nicotinamide adenine dinucleotide phosphate; Ppase: pyrophosphatase; Rnf: protein involved in AK, NF and GNC performed genome and comparative analysis and coordinated experimental procedures. SC carried out the growth experiments. ST analysed amino acid utilization by LC-MS. NP contributed to the experimental procedures. AL contributed to elaboration of the clostridial database Anaeroscope. MG constructed shotgun library for sequencing. VB carried out the assembly and finishing of the genome. EP performed bioinformatic analyses. ST, AL and VB participated in writing sections of the manuscript. MS, DL, and JW critically reviewed the manuscript. GNC and JRA contributed to writing of the manuscript. AK and NF wrote the manuscript. All authors read and approved the final manuscript.C. sticklandii compared with other clostridiaGenomic and metabolic features of . All data are extracted from the MaGe annotations except those of Clostridium sporogenes, which are from the NCBI database. C.stick: Clostridium sticklandii DSM 519; C.acet: Clostridium acetobutylicum ATCC 824; C.beij: Clostridium beijerinckii NCIMB 8052; C.botu: Clostridium botulinum A Hall; C.diff: Clostridium difficile 630; C.kluv: Clostridium kluyveri DSM 555; C.novy: Clostridium novyi NT; C.perf: Clostridium perfringens ATCC 13124; C.phyt: Clostridium phytofermentans ISDg; C.teta: Clostridium tetani E88; C.ther: C. thermocellum ATCC 27405; C.spor: C. sporogenes ATCC 1557; A.meta: Alkaliphilus metalliredigens QYMF; A.orem: Alkaliphilus oremlandii OhILAs; M.ther: Moorella thermoacetica ATCC 39073. *2-ketoacid ferredoxin oxidoreductases.Click here for fileC. sticklandii synteny conservation and Bidirectional Best Hit percentages with the most closely related clostrial species. Synteny conservation is given by the percentage of CDS in synteny between C. sticklandii and the complete sequenced genomes.Click here for fileC. sticklandii, their protein symbols and their corresponding labelsCharacteristic gene products of . This is a listing of all genes/proteins that are discussed in the text.Click here for fileComparative analysis of amino acid degradation pathways in several clostridial species. Blast searches (criteria: 30% identity over at least 80% of the length of the reference protein) were performed to determine the presence of the key enzymes in the microorganisms. All protein sequences were taken from C. sticklandii with two exceptions: the sequence of methylaspartate mutase was from Clostridium cochlearium, and that of 2-hydroxyglutaryl-CoA dehydratase from Acidaminococcus fermentans. C.stick: Clostridium sticklandii DSM 519; C.acet: Clostridium acetobutylicum ATCC 824; C.beij: Clostridium beijerinckii NCIMB 8052; C.botu: Clostridium botulinum A Hall; C.diff: Clostridium difficile 630; C.kluv: Clostridium kluyveri DSM 555; C.novy: Clostridium novyi NT; C.perf: Clostridium perfringens ATCC 13124; C.phyt: Clostridium phytofermentans ISDg; C.teta: Clostridium tetani E88; C.ther: C. thermocellum ATCC 27405; C.spor: C. sporogenes ATCC 15579; A.meta: Alkaliphilus metalliredigens QYMF; A.orem: Alkaliphilus oremlandii OhILAs; M.ther: Moorella thermoacetica ATCC 39073; C.coch: Clostridium cochlearium; A.ferm: Acidaminococcus fermentans DSM 20731. The genome of Clostridium cochlearium is not yet sequenced.Click here for fileLC-MS analyses of amino acid utilization during growth. For each amino acid, its presence in the medium was checked at different growth phases (colour graphs). The growth kinetic is represented by a yellow graph. Citrulline, ornithine, alanine and aspartate (indicated by a black frame) were not added to the medium. They appeared as intermediates or products of metabolism from other amino acids. Since the utilization of methionine was not discussed in the article, the graph for this amino acid is not shown.Click here for fileC. sticklandii in three types of media with different amino acid compositionCell growth of . Graph 1: medium containing amino acids that are catabolized in the exponential phase ; Graph 2: medium containing amino acids that are catabolized in the exponential and stationary phase ; Graph 3: the amino acid combination of this medium is equivalent to the second medium, complemented with amino acids apparently not metabolized . Tyrosine was added to each medium.Click here for fileComparison of the D-proline reductase gene cluster from different clostridial species. White arrows indicate hypothetical proteins or those presumed not to be involved in the D-proline reductase reaction. The letter \"U\" indicates the presence of selenocysteine. In Clostridium botulinum A Hall, a part of the cluster is duplicated.Click here for filePresence of characteristic enzymes of the glycine synthase (Gcv proteins)/glycine reductase (Grd proteins) and Wood-Ljungdahl (CODH proteins) pathway in microbial genomes. Complete and WGS microbial genomes were scanned for some selected characteristic orthologous genes coding for carbon monoxide dehydrogenase/acetyl-CoA synthetase (Wood-Ljungdahl pathway), glycine reductase (Stickland reaction), and the glycine synthase (gcv-system) using a blastx search with stringent criteria (40% of positive residues over at least 80% of the length of the reference protein). For each target genome, the presence/absence of each protein was summarized in a 1/0 vector. Those WGS microbial genomes which do not contain all genes of both pathways are omitted.Click here for file"}
+{"text": "Representing species-specific proteins and protein complexes in ontologies that are both human- and machine-readable facilitates the retrieval, analysis, and interpretation of genome-scale data sets. Although existing protin-centric informatics resources provide the biomedical research community with well-curated compendia of protein sequence and structure, these resources lack formal ontological representations of the relationships among the proteins themselves. The Protein Ontology (PRO) Consortium is filling this informatics resource gap by developing ontological representations and relationships among proteins and their variants and modified forms. Because proteins are often functional only as members of stable protein complexes, the PRO Consortium, in collaboration with existing protein and pathway databases, has launched a new initiative to implement logical and consistent representation of protein complexes.http://pir.georgetown.edu/pro/.We describe here how the PRO Consortium is meeting the challenge of representing species-specific protein complexes, how protein complex representation in PRO supports annotation of protein complexes and comparative biology, and how PRO is being integrated into existing community bioinformatics resources. The PRO resource is accessible at PRO is a unique database resource for species-specific protein complexes. PRO facilitates robust annotation of variations in composition and function contexts for protein complexes within and between species. Logical and semantic access to related protein forms is critical for advancing bioinformatics approaches to representing, modeling, and reasoning about complex biological systems at the genomic and cellular level . The Prointeractions in that they are continuant entities, i.e. they endure or continue to exist through time. Interactions, in contrast, are occurrent entities, i.e. they occur in time through successive temporal phases. The explicit representation of protein complexes in PRO--defining each member of the complex at the level of its isoform, variant, or modified form--provides the ability to represent complex biological knowledge as it is emerging in the experimental research community in structures that are both human readable and accessible to algorithmic approaches.The PRO has three components informally referred to as ProForm, ProEvo, and ProComp . ProFormspecific classes of protein complexes, while GO, in most instances, represents the species-independent classes of protein complexes; within PRO, the latter are referred to by using GO identifiers. The UniProt Knowledgebase (UniProtKB) comment: Category = organism-complex. Entities of this type are disposed to have the enzymatic activity described by EC:6.4.1.4.synonym: \"beta-methylcrotonyl-CoA carboxylase (mouse)\" EXACT synonym: \"MCC (mouse)\" EXACT is_a: GO:0002169! 3-methylcrotonyl-CoA carboxylase complex, mitochondrialhas_part PR:000025354 {cardinality = \"1\"} ! methylcrotonoyl-CoA carboxylase subunit alpha, mitochondrial (mouse)relationship: has_part PR:000025357 {cardinality = \"1\"} ! methylcrotonoyl-CoA carboxylase beta chain, mitochondrial (mouse)relationship: relationship: only_in_taxon taxon:10090 ! Mus musculusSerine palmitoyltransferase catalyzes the key reaction in the biosynthesis of sphingolipids. In many eukaryotic species, this enzyme is a heterodimer consisting of two subunits, SPTLC1 and SPTLC2. Recently, it was shown that in human cells, SPTLC1 and SPTLC2 form a complex with a third subunit, SPTLC3, with a resulting molecular mass of 480 kDa . SPTLC1 A serine palmitoyltransferase complex is also found in gram-negative sphingolipid-containing bacteria. Unusually, the outer membranes of these bacteria contain glycosphingolipid (GSL) instead of lipopolysaccharide, and SPT catalyzes the first step of the GSL biosynthetic pathway in these organisms. But, as opposed to the human SPT complex, bacterial SPT complex is homodimeric -21. In shas_part relation to the corresponding classes of protein components. The functional human complex classes have an is_a relationship to the serine C-palmitoyltransferase complex class in GO (GO:0017059). The complex core has an is_a relationship to GO:0043234 (protein complex) as there is currently not a more specific complex class in GO.The representation of SPT complexes in PRO shown below and illustrated in Figure [Term]id: PR:000026144name: serine palmitoyltransferase complex core 1 (human)def: \"A serine palmitoyltransferase complex that is heterodimeric consisting of one subunit of serine palmitoyltransferase 1 and serine palmitoyltransferase 2. These components are encoded in the genome of human.\" [PRO:CNA]is_a: GO:0043234 ! protein complexrelationship: has_part PR:000026141 {cardinality = \"1\"} ! serine palmitoyltransferase 1 (human)relationship: has_part PR:000026142 {cardinality = \"1\"} ! serine palmitoyltransferase 2 (human)relationship: only_in_taxon taxon:9606 ! Homo sapiens[Term]id: PR:000026155name: serine palmitoyltransferase complex A (human)def: \"A serine palmitoyltransferase complex consisting of an unknown combination of the serinepalmitoyltransferase subunits 1-3. The stoichiometry is a tetramer composed of the serinepalmitoyltransferase core complexes 1 and/or 2.\" comment: Category = organism-complex. Entities of this type are disposed to have the enzymatic activity described by EC:2.3.1.50.is_a: GO:0017059 ! serine C-palmitoyltransferase complexrelationship: has_part PR:000026141 {cardinality = \"4\"}! serine palmitoyltransferase 1 (human)relationship: has_part PR:000026142 ! serine palmitoyltransferase 2 (human)relationship: has_part PR:000026143 ! serine palmitoyltransferase 3 (human)relationship: only_in_taxon taxon:9606 ! Homo sapiensThe protein complex stanza for the bacterial SPT complex PR:000026169) is shown below. The bacterial and human complexes differ in composition def: \"A homodimeric serine palmitoyltransferase complex that is composed of bacterial serine palmitoyltransferase encoded in the genome of Sphingobacterium multivorum.\" comment: Category = organism-complex. Entities of this type are disposed to have the enzymatic activity described by EC:2.3.1.50.is_a: GO:0002179 ! homodimeric serine palmitoyltransferase complexrelationship: has_part PR:000026168 {cardinality = \"2\"} ! bacterial serine palmitoyltransferase isoform 1 (Sphingobacterium multivorum)relationship: only_in_taxon taxon:28454 ! Sphingobacterium multivorum+ as a cofactor in the oxidative decarboxylation of isocitrate and one utilizes NAD+. The NAD+-dependent IDH is a mitochondrial protein complex in the citric acid cycle; it consists of three subunits , each of which is encoded by a single gene. The mouse alpha subunit gene encodes two different protein isoforms by alternative splicing. ProComp can distinguish between complexes that differ in the isoform of one of the constituents. As illustrated below (in bold), the protein complex stanzas from PRO describe two types of IDH complexes that differ only in the type of isoform of the alpha subunit. Both classes of isoform-specific protein complexes shown below (PR:000026072 and PR:000026073) are subclasses of the mouse-specific protein complex class (PR:000026071) which, in turn, is a subclass of the species-independent complex class defined in GO (GO:0005962).There are three types of isocitrate dehydrogenases (IDHs) in mammals; two IDHs utilize NADP[Term]id: PR:000026071name: mitochondrial isocitrate dehydrogenase complex (NAD+) (mouse)definition: A mitochondrial isocitrate dehydrogenase complex using NAD+ whose components are encoded in the genome of mouse [PRO:hjd]is_a:GO:0005962 ! mitochondrial isocitrate dehydrogenase complex (NAD+)relationship: has_part PR:000025358 ! isocitrate dehydrogenase [NAD] subunit alpha, mitochondrial (mouse)relationship: has_part PR:000025359 ! isocitrate dehydrogenase [NAD] subunit beta, mitochondrial (mouse)relationship: has_part PR:000025360 ! isocitrate dehydrogenase [NAD] subunit gamma, mitochondrial (mouse)relationship: only_in_taxon taxon:10090! Mus musculus[Term]id: PR:000026072name: mitochondrial isocitrate dehydrogenase complex (NAD+) A (mouse)def: A mitochondrial isocitrate dehydrogenase complex using NAD+ whose components are encoded in the genome of mouse containing isoform 1 of subunit alpha\" [PRO:hjd]is_a:PR: 000026071! mitochondrial isocitrate dehydrogenase complex (NAD+) (mouse)relationship: has_part PR:000025355 ! isocitrate dehydrogenase [NAD] subunit alpha, mitochondrial isoform 1 (mouse)relationship: has_part PR:000025359 ! isocitrate dehydrogenase [NAD] subunit beta, mitochondrial (mouse)relationship: has_part PR:000025360 ! isocitrate dehydrogenase [NAD] subunit gamma, mitochondrial (mouse)relationship: only_in_taxon taxon:10090 ! Mus musculus[Term]id: PR:000026073name:mitochondrial isocitrate dehydrogenase complex (NAD+) B (mouse)def: A mitochondrial isocitrate dehydrogenase complex using NAD+ whose components are encoded in the genome of mouse containing isoform 2 of subunit alpha\" [PRO:hjd]is_a:PR: 000026071! mitochondrial isocitrate dehydrogenase complex (NAD+) (mouse)relationship: has_part PR:000025356 ! isocitrate dehydrogenase [NAD] subunit alpha, mitochondrial isoform 2 (mouse)relationship: has_part PR:000025359 ! isocitrate dehydrogenase [NAD] subunit beta, mitochondrial (mouse)relationship: has_part PR:000025360 ! isocitrate dehydrogenase [NAD] subunit gamma, mitochondrial (mouse)relationship: only_in_taxon taxon:10090! Mus musculushas_part statements that refer to \"either-or\" classes of proteins are used to represent uncertainty in a compact form with no loss of information. The union_of statement (highlighted by bold text in the stanza below) indicates which genes could code for a particular protein component. The union_of tag appears in the appropriate protein component stanzas, not in the protein complex stanza. These tags are shown below (as comments) for illustration purposes only.Cytochrome c oxidase, also known as Complex IV (EC 1.9.3.1), is a large transmembrane protein complex located in the inner mitochondrial membrane. Its function is sequestration of free radicals, coupled to the transport of protons across the inner mitochondrial membrane, which creates the proton gradient used by mitochondrial ATP synthase during ATP production. Although the function of Complex IV is well understood, the exact composition of the complex is not certain due to apparent genetic redundancy. Complex IV is composed of 13 polypeptides: three encoded in the mitochondrial genome, and ten encoded in the nuclear genome . The unc[Term]id: PR:000026295name: respiratory chain complex IV (mouse)def: A mitochondrial respiratory chain complex IV whose components are encoded in the genome of mouse. is_a: GO:0005751 ! mitochondrial respiratory chain complex IVrelationship: has_part PR:000025364 {cardinality = \"1\"} ! cytochrome oxidase subunit 1, mitochondrial (mouse)relationship: has_part PR:000025366 {cardinality = \"1\"} ! cytochrome oxidase subunit 2, mitochondrial (mouse)relationship: has_part PR:000025367 {cardinality = \"1\"} ! cytochrome oxidase subunit 3, mitochondrial (mouse)relationship: has_part PR:000026286 complex IV component 4 (mouse)! union_of: PR:000025368 ! Cox4i1! union_of: PR:000025369 ! Cox4i2relationship: has_part PR:000026294 {cardinality = \"1\"} ! cytochrome c oxidase subunit 5A, mitochondrial, transit peptide removed form (mouse)relationship: has_part PR:000025371 {cardinality = \"1\"} ! cytochrome c oxidase subunit 5B (mouse)relationship: has_part PR:000026287 {cardinality = \"1\"} ! complex IV component 6a (mouse)! union_of: PR:000025372 ! Cox6a1! union_of: PR:000025373 ! Cox6a2relationship: has_part PR:000026288 {cardinality = \"1\"} ! complex IV component 6b (mouse)! union_of: PR:000025374 ! Cox6b1! union_of: PR:000025375 ! Cox6b2relationship: has_part PR:000025376 {cardinality = \"1\"} ! cytochrome c oxidase subunit 6C (mouse)relationship: has_part PR:000026289 {cardinality = \"1\"} ! complex IV component 7A (mouse)! union_of: PR:000025377 ! Cox7a1! union_of: PR:000025378 ! Cox7a2! union_of: PR:000025379 ! Cox7a2lrelationship: has_part PR:000027496 {cardinality = \"1\"} ! complex IV component 7B (mouse)! union of PR:000027491 ! Cox7b! union of PR:000027489 ! Cox7b2relationship: has_part PR:000025383 {cardinality = \"1\"} ! cytochrome c oxidase subunit 7C, mitochondrial (mouse)relationship: has_part PR:000026290 {cardinality = \"1\"} ! complex IV component 8 (mouse)! union_of: PR:000025380 ! Cox8a! union_of: PR:000025381 ! Cox8b! union_of: PR:000025382 ! Cox8crelationship: only_in_taxon taxon:10090 ! Mus musculusWhile not illustrated in the use cases above, many PRO complexes have species-specific protein types of modified isoforms. A few examples are: (i) PR:000025933 smad2-smad4 protein complex 1 (human), which contains active phosphorylated form of smad2 (MAD homolog 2), (ii) PR:000026035 myc-max acetylated complex (human), where both myc (myelocytomatosis oncogene) and max (Max protein) are acetylated, and (iii) PR:000027084 IRF3-P:IRF7-P complex (human), which contains the active phosphorylated forms of IRF3 (interferon regulatory factor 3) and IRF7 (interferon regulatory factor 7).http://purl.obolibrary.org/obo/PR_000026144 is shown in Figure The web display of the ProComp stanza for the human SPT complex described above in Use Case 2 http://www.geneontology.org/GO.format.gaf-1_0.shtml. The PAF format consists of a standard header and 20 tab-delimited columns .The ProComp ontology provides species-specific, accessioned protein complex entities that support robust, context-specific annotation of protein biology . ComprehMCC; EC 6.4.1.4). Knowledge that mutations in human genes that encode the protein components of the MCC complex: MCCC1 and MCCC2 (subunit beta), cause methylcrotonylglycinuria type I (OMIM #210200) and methylcrotonylglycinuria type II (OMIM #210210), respectively, are represented in the PAF file subunit is required for their proper functioning ,28. In mhttp://obi-ontology.org/) group on the development and application of an evidence code ontology to describe the evidence used to support protein complex assertions in ProComp, and with developers of the curation tools to enable capturing such evidence with appropriate granularity. Second, our current work records only protein monomer components of complexes facilitated by an interface that makes selection of the monomers and their identifiers manageable. However, as we note, protein complexes (such as Complex IV in Use Case 4) are known to have lipid, heme, and other co-factors as components. Extensions to our curation tools will be developed in order to select and include such components, identifiers for which are provided by, e.g., the Chemical Entities of Biological Interest (CheBI) ontology [has_agent and is_agent_in relations in our annotations to connect, provisionally, proteins with representation of sequence variation from the Sequence Ontology. However this does not agree with the formal definition in which these relations connect processes with their participants [has_part to relate a protein complex to its components and uses cardinality restriction to represent stoichiometry. However, because has_part is a transitive relation, the ontology falls outside OWL2-DL making it not possible to use standard reasoners. Thus, we are evaluating the possibility of replacing has_part with a new relation that is a non-transitive sub-property of the has_part relation. Finally, we will implement closure axioms that would more clearly define the number and kind of complex components. For example, our representation of Complex IV allows that there might be additional protein components because of the open world assumption. A closure axiom would assert that exactly 13 of the components of this complex are proteins, while still allowing that there might be other kinds of components.Improvements in the PRO ontology and annotation have come to light by our work on the use cases described in this manuscript. We outline a number of known issues that serve as the basis for future work. First, while the assertions in stanzas within PRO are intended to be backed by evidence, the distinction between experimental and inferential evidence (both legitimate) is not yet captured clearly. This is especially true in cases where the evidence for composition and stochiometry for protein complexes is derived from orthologous proteins and complexes in other organisms. Usefully recording such information, as we recognize is important, was hampered by deficits in our curation tools that made it impossible to record evidence for individual relations or, more specifically, cardinality. We are working with the Ontology for Biomedical Investigations or text . Searches can be restricted to specific modified forms , database, or membership in a complex. PRO entries can also be accessed via hypertext links on gene detail pages in the Mouse Genome Informatics (MGI) database and from MouseCyc, Reactome, and EcoCyc. PRO (Release 20) contains 168 complexes drawn from Reactome (human), MouseCyc (mouse), EcoCyc (E. coli) and direct submissions from collaborating research groups. OBO Edit, an open source ontology editing tool http://oboedit.org/[The Protein Ontology resource can be accessed on-line edit.org/, can be http://purl.obolibrary.org/obo/pr.owl).Existing conversion tools allow for OBO-formatted ontologies to be converted into Web ontology language (OWL) ,33. The The authors declare that they have no competing interests.CJB, HD, AE, AR and PD researched and created protein complex stanzas for mouse and human. DN CA, and AR validated the ontology stanza formats and created the appropriate records in the PRO database. NR built software infrastructure to facilitate semi-automated acquisition of protein complex data from contributing databases. All authors contributed to the development of the formalisms to represent the classes of protein complexes illustrated in this manuscript. All authors participated in the writing of the manuscript. All authors read and approved the manuscript."}
+{"text": "The 7th author's correct name is: Diane Wallace Taylor.The correct author contributions are: Conceived and designed the experiments: KLS ALC RGFL RJIL PG MEM DWT SJR KCK. Performed the experiments: KLS ALC. Analyzed the data: KLS ALC. Contributed reagents/materials/analysis tools: RGFL DWT MEM SJR KCK. Wrote the paper: KLS ALC KCK. Constructive review of manuscript: DWT MEM SJR."}
+{"text": "The CIGS NCs of approximately 17 nm in diameter were homogeneously blended with P3HT layer to form an active layer of a photovoltaic device. The blend ratios of CIGS NCs to P3HT, solvent effects on thin film morphologies, interface between P3HT/CIGS NCs and post-production annealing of devices were investigated, and the best performance of photovoltaic devices was measured under AM 1.5 simulated solar illumination (100 mW/cm2).This work presents the systematic studies of bulk hybrid heterojunction solar cells based on CuSe Photovoltaic (PV) devices, converting photon into electricity as an elegant and clean renewable energy, have attracted tremendous attentions on research and developments. Among emerging PV technologies, organic photovoltaic devices (OPV) composed of polymer matrices can be considered as promising third-generation solar cell due to its exceptional mechanical flexibility for versatile applications ,2. Moreo2-Phenyl-C61 butyric acid methyl ester; PCE: Power-conversion efficiency; PEDOT/PSS: Poly-poly(styrenesulfonate); XRD: Powder X-ray diffraction; FTIR: Fourier transform infrared spectroscopy; HRTEM: High-resolution transmission electron microscopy; PL: Photoluminescence; FWHM: Full width at half maximum; Jsc: Short-circuit current; Voc: Opened circuit voltage; FF: Fill factor; OLA: Oleylamine; PYR: Pyridine.CIGS: CuSeThe authors declare that they have no competing interests.YKL carried out the device fabrication and drafted the manuscript; SHC synthesized the CIGS nanocrystals; HFH provided useful solutions to the experimental issues and helped to revise the draft; HYT participated in the design of the study; YTY participated in the sequence alignment and helped to draft the manuscript; YLC carried out the TEM analysis, conceived the study, and organized the final version of the paper. All authors read and approved the final manuscript."}
+{"text": "The author contributions provided in the HTML and PDF versions of the article contain author initials from a different paper. The following are the correct author contributions for this article:Conceived and designed the experiments: BZ YYH QY. Performed the experiments: BZ YYH QY SWZ YW YXC DRX. Analyzed the data: YYH QY SWZ YW YXC DRX. Contributed reagents/materials/analysis tools: YYH QY SWZ YW YXC DRX. Wrote the paper: YYH QY."}
+{"text": "There was an error in the author contributions section of the article. A correct version of the section is available below.Conceived and designed the experiments: AC JD LY. Performed the experiments: AC. Analyzed the data: AC. Wrote the manuscript: AC JD LY."}
+{"text": "AbstractChilopoda) is proposed. Terms are selected from the alternatives used in the English literature, preferring those most frequently used or those that have been introduced explicitly. A total of 330 terms are defined and illustrated, and another ca. 500 alternatives are listed.A common terminology for the external morphological characters of centipedes ( Chilopoda).This contribution is intended to propose a common terminology for the external morphological characters of centipedes , because they have been documented only recently, by histology and scanning electron microscopy, so that a consistent terminology is available , 2008. OWe considered all publications in English dealing with centipedes since PageBreakTo maximize future applicability, alternative criteria of selection have been discussed with authors who are either currently the most active centipede systematists publishing descriptions in English and/or have already addressed issues of terminology standardization. In order to identify and recommend a single term for each character, we applied the following criteria: (i) we selected a term already used in the literature, except when all alternatives are either ambiguous or inconsistent with other selected terms; (ii) among alternatives, we selected either the term used most frequently (by most authors and/or in most publications) or the one explicitly introduced and defined by an influential author; (iii) we applied minor emendations to selected terms when necessary for consistency and uniformity. We refrained from revising the terminology based on homology hypotheses with other arthropods , becauseMajor anatomical differences exist between the six centipede orders, five extant - Scutigeromorpha, Lithobiomorpha, Craterostigmomorpha, Scolopendromorpha, and Geophilomorpha - and one extinct, Devonobiomorpha. Morphological and taxonomical investigations by different authors have sometimes been and still are limited to single orders, leading to different terminological traditions. While we propose a consistent terminology for the entire class, we specify the order(s) to which each term is applicable to facilitate usage by students interested in single orders; when no orders are specified, it is meant that the term is applicable to all orders; when an order is specified, it is meant that the term is applicable to at least some taxa in the order.After reviewing the relevant literature as explained above, we retrieved roughly 830 terms that apply to 330 anatomical features. By applying the criteria described above, we obtained the recommended terminology presented herein.PageBreakby a slash; listed alphabetically, without an implicit ranking). An alphabetical index of all recommended and synonymous terms is provided in the additional file: Analytical index. Abbreviations for orders are: Cra (Craterostigmomorpha), Dev (Devonobiomorpha), Geo (Geophilomorpha), Lit (Lithobiomorpha), Sco (Scolopendromorpha), and Scu (Scutigeromorpha).Terms for surface depressions and projections are provided in cephalic capsule: integument of the head to the exclusion of its appendages. cephalic plate: dorsal side of the cephalic capsule. median sulcus: mid-longitudinal sulcus on the anterior part of the cephalic capsule. transverse suture: transverse suture on the anterior part of the dorsal side of the cephalic capsule. anterior projection/projections of the transverse suture: [Scu] one of the paramedian sutures projecting anteriorly from the cephalic transverse suture. Fig. 3antennocellar suture/sutures: one of the paired sutures on the antero-lateral parts of the cephalic capsule. antennal branch/branches of antennocellar suture: part of the antennocellar suture, anterior to the cephalic transverse suture. Syn.: anterior portion/portions of antennocellar sutureocellar branch/branches of antennocellar suture: part of the antennocellar suture, posterior to the cephalic transverse suture. Syn.: posterior portion/portions of antennocellar suture, posterior limb/limbs of transverse suturefrontal plate: anterior part of the dorsal side of the cephalic capsule, delimited posteriorly by the cephalic transverse suture. ocellar area/areas: one of the paired antero-lateral parts of the cephalic capsule, bearing compound eyes or ocelli when present, and delimited mesally by the antennocellar suture. compound eye/eyes: [Scu] faceted vision organ, composed of similar units known as ommatidia. Fig. 3ocellus/ocelli: simple vision organ, appearing as a single convex lens. Fig. 5posterior ocellus/ocelli: [Lit] the most posterior ocellus on each side of the head. seriate ocellus/ocelli: [Lit] one of the ocelli other than the posterior ocellus. ocellar series/series: [Lit] one of the sub-horizontal rows in which the seriate ocelli can be arranged. Syn.: ocellar row/rowsposterosuperior ocellus/ocelli: [Lit] the most posterior ocellus of the most dorsal row of seriate ocelli. Fig. 5PageBreakPageBreakT\u00f6m\u00f6sv\u00e1ry\u2019s organ/organs: hygroreceptor sensory organ at the side of the head. paramedian suture/sutures: [Sco] one of the paired paramedian sutures on the cephalic plate. Fig. 6 paramedian sulcus/sulci: one of the paired paramedian sulci on the posterior part of the cephalic plate. marginal ridge: narrow ridge along the lateral and posterior margins of the dorsal side of the cephalic capsule. marginal sulcus/sulci: sulcus between the marginal ridge and the remaining part of the dorsal side of the cephalic capsule. Fig. 1 lateral marginal interruption/interruptions : [Lit] notch on the lateral margins of the cephalic plate. basal plate/plates: [Sco] one of the paired sclerites at the posterior corners of the cephalic plate. Fig. 6 cephalic pleurite/pleurites: one of the pleurites lateral to the clypeolabrum. transverse suture/sutures : [Geo] transverse suture on the cephalic pleurite. stilus/stili: [Geo] sclerotised ridge on the mesal margin of the cephalic pleurite. anterior incision/incisions (of stilus): [Geo] notch on the mesal side of the stilus. spiculum/spicula: [Geo] sclerotised, pointed projection on the anterior part of the cephalic pleurite. maxillary complex: whole of first and second maxillaeantenna/antennae: one of the paired most anterior appendages on the head. Fig. 1article/articles: one of the rigid sectors along the antenna. scape/scapes: [Scu] set of the two most basal antennal articles. Fig. 10annulation/annulations: [Scu] short antennal article. PageBreakPageBreakflagellum/flagella: [Scu] one of the sections along the antenna composed of annulations. node/nodes: [Scu] elongate antennal article between two flagella along the antenna. Fig. 11 first flagellum/flagella: [Scu] the most basal flagellum along the antenna. second flagellum/flagella: [Scu] the second flagellum along the antenna. third flagellum/flagella: [Scu] the third flagellum along the antenna. shaft organ/organs: [Scu] sensory organ on the first antennal articleclypeolabrum: antero-ventral part of the cephalic capsule, posterior to the antennae and between the cephalic pleurites. Fig. 7clypeus: sclerite on the antero-ventral part of the cephalic capsule, to the exclusion of the labrum. Fig. 12paraclypeal suture/sutures: one of the lateral margins of the clypeus. scute/scutes: area on the cuticle, corresponding to the external face of a single epithelial cell. areolate part: [Geo] anterior part of the clypeus that is evidently areolate. plagula/plagulae: [Geo] one of the non-areolate areas on the posterior part of the clypeus. mid-longitudinal areolate strip: [Geo] mid-longitudinal areolate band separating two paired plagulae. clypeal insula/insulae: [Geo] non-areolate area inside the areolate part of the clypeus. Fig. 9clypeal area/areas: [Geo] small, subcircular, median area on the areolate part of the clypeus, with distinctly finer or indistinct areolation. clypeolabral suture: suture between clypeus and labrum. Fig. 12labrum: posterior part of the clypeolabrum, sometimes delimited from the clypeus by a suture. mid-piece: median sclerite of the labrum. PageBreakintermediate part: [Geo] median part of the labrum, when not a sclerite distinct from the lateral parts. mid-piece tooth: sclerotised tooth on the labral mid-piece. Fig. 13 side-piece/side-pieces: one of the paired lateral sclerites of the labrum. lateral part/parts: [Geo] one of the paired lateral parts of the labrum, when not sclerites distinct from the intermediate part. ala/alae: [Geo] one of the two sclerites composing the labral side-piece. Fig. 8 anterior ala/alae: [Geo] the anterior of the two sclerites composing the labral side-piece. Fig. 8 posterior ala/alae: [Geo] the posterior of the two sclerites composing the labral side-piece. Fig. 8 transverse thickened line/lines: [Geo] sclerotised ridge between the anterior and posterior ala of the labral side-piece. Fig. 8 median arc: [Geo] concave posterior margin of the labral intermediate part. bristle/bristles: hair-like, sometimes branching, projection along the posterior margin of the labrum. denticle/denticles: [Geo] subtriangular, flat projection along the posterior margin of the labrum. tubercle/tubercles: [Geo] subconical, stout projection along the posterior margin of the labrum. paralabial sclerite/sclerites: one of the paired sclerites posterior to the clypeus and lateral to the labral side-pieces. tentorium/tentoria: Y-shaped sclerite whose three limbs are attached to the labral lateral parts, the cephalic pleurite, and the mandibular condyle, respectively. mandible/mandibles: one appendage of the first pair of the mouth-parts. Fig. 13mandibular condyle/condyles: condyle of the mandible serving the articulation with the tentorium. Fig. 15gnathal edge/edges: distal margin of the mandible. manubrium/manubria: slender projection of the mandible opposite to the gnathal edge with respect to the mandibular condyle. PageBreaktrunk/trunks: main part of the mandible, to the exclusion of the manubrium and the gnathal edge. (mandibular) cruciform suture/sutures: [Sco] pair of crossed sutures on the mandibular trunk. (mandibular) lamina/laminae manubrii: [Sco] part of the mandible between manubrium and cruciform suture. lamina/laminae triangularis/triangulares: [Sco] part of the mandible between the lamina manubrii and the lamina dentifera, opposite to the lamina condylifera with respect to the cruciform suture. lamina/laminae dentifera/dentiferae: [Sco] part of the mandible between apical ridge and cruciform suture. lamina/laminae condylifera/condyliferae: [Sco] part of the mandible between the lamina manubrii and the lamina dentifera, including the mandibular condyle and opposite to the lamina triangularis with respect to the cruciform suture. molar plate/plates: [Scu] sclerotised, flat area on the gnathal edgepulvillus/pulvilli: array of dense short scales on the dorsal end of the mandibular gnathal edge. acicula/aciculae: one of the slender long projections on the ventral end of the mandibular gnathal edge. (mandibular) pinnule/pinnules (of acicula): one of the branches of a mandibular aciculabranching bristle/bristles: [Lit] hair-like, branching projection fringing the mandibular teeth and aciculae(mandibular) accessory denticle/denticles: one of the denticles arranged in rows on the mandibular teeth(mandibular) lamella/lamellae: one of the flat projections on the gnathal edge of the mandible. (mandibular) dentate lamella/lamellae: mandibular lamella bearing teeth. (mandibular) tooth/teeth: sclerotised, large, subconical, projection on a mandibular dentate lamella. Fig. 15(mandibular) tricuspid tooth/teeth: tooth with three tips on a dentate lamella. Fig. 16(mandibular) block/blocks: one of the sclerotised distinct parts of a dentate lamella, each bearing one or more teeth. Fig. 17(mandibular) pectinate lamella/lamellae: mandibular lamella bearing poorly sclerotised, subcylindrical, slender projections. (mandibular) basal tooth/teeth: [Geo] subconical projection at the base of the first mandibular lamella(mandibular) PageBreakPageBreakfirst maxillae {plural only}: pair of appendages and associated basal sclerites between the mandibles and the second maxillae. sternite: most basal part of the coxosternite, associated with the first maxillae(first maxillary) coxa/coxae: part of the coxosternite corresponding to a coxa, of the first maxillae(first maxillary) coxosternite: entire sclerite corresponding to sternite and coxae of the first maxillae. (first maxillary) lateral incision: [Geo] notch on the lateral margin of the first maxillary coxosternite. (first maxillary) coxal projection/projections: one of the paired projections on the anterior margin of the first maxillary coxosternite, mesal to the telopodites. (first maxillary) telopodite/telopodites: one of the paired projections, usually articulated at the base, on the anterior margin of the first maxillary coxosternite, lateral to the coxal projections. (first maxillary) basal article/articles: the most basal article of the first maxillary telopodite. (first maxillary) distal article/articles: the most distal article of the first maxillary telopodite. (first maxillary) plumose bristle/bristles: [Lit] one of the feather-like projections on the distal article of the first maxillary telopodite. Fig. 21(first maxillary) pad/pads: [Sco] array of short, dense projections on the distal article of the first maxillary telopodite. Fig. 22(first maxillary) lappet/lappets: [Geo] projection on the lateral margin of the first maxillary coxosternite or telopodite. (first maxillary) coxosternal lappet/lappets: [Geo] lappet on the first maxillary coxosternite. (first maxillary) telopodital lappet/lappets: [Geo] lappet on the basal article of the first maxillary telopodite. (first maxillary) PageBreakPageBreaksecond maxillae {plural only}: pair of appendages and associated basal sclerite/s, posterior to the first maxillae. coxosternite: entire sclerite corresponding to sternite and coxae of the second maxillae. (second maxillary) isthmus: median part of the second maxillary coxosternite. Fig.\u00a024(second maxillary) setigerous insula/insulae: [Geo] one of the nonareolate areas, bearing setae, inside the areolate part of the second maxillary coxosternite. Fig. 20(second maxillary) metameric pore/pores: one of the paired pores of the maxillary glands on the second maxillary coxosternite. foraminal process/processes: [Geo] marginal projection of the second maxillary coxosternite surrounding the metameric pore. Fig. 20statumen/statuminia: [Geo] sclerotised elongated ridge mesal to the metameric pore. parastatuminial suture/sutures: [Geo] suture along the statumen. circumforaminal ring/rings: [Geo] sclerotised ring partially surrounding the metameric poreinner process/processes (of second maxillary coxosternite): [Geo] one of the paired projections on the anterior margin of the second maxillary coxosternite, mesal to the telopodites. postmaxillary sclerite/sclerites: one of the paired sclerites adjacent to the posterior corners of the second maxillary coxosternite. telopodite/telopodites: part of the appendage of the second maxillae, distal to the most basal articulation. (second maxillary) trochanter/trochanters: [Scu] first article of the second maxillary telopodite. Fig. 25(second maxillary) prefemur/prefemora: [Scu] second article of the second maxillary telopodite. Fig. 25(second maxillary) femur/femora: [Scu] third article of the second maxillary telopodite. Fig. 25(second maxillary) tibia/tibiae: [Scu] fourth article of the second maxillary telopodite. Fig. 25(second maxillary) tarsus/tarsi: [Scu] fifth article of the second maxillary telopodite. Fig. 25(second maxillary) PageBreakarticle/articles 1: first article of the second maxillary telopodite. (second maxillary) article/articles 2: second article of the second maxillary telopodite. (second maxillary) article/articles 3: third article of the second maxillary telopodite. (second maxillary) plumose seta/setae: [Lit] one of the setae with apical branches, on article 3 of the second maxillary telopodite. Fig. 26(second maxillary) dorsal brush/brushes: longitudinal row of hairs on article 3 of the second maxillary telopodite. (second maxillary) pretarsus/pretarsi: terminal element articulated to the most distal article of the second maxillary telopodite. (second maxillary) claw/claws: second maxillary pretarsus in shape of a claw. (second maxillary) digit/digits (of second maxillary claw): one of the short projections on the second maxillary claw. Fig. 26comb/combs (of second maxillary claw): row of projections along the margin of the second maxillary claw. filament/filaments (of second maxillary claw): one of the slender projections of the comb of the second maxillary claw. Fig. 18forcipular segment: segment bearing the forcipules. forcipular pretergite: short sclerite anterior to the forcipular tergite. forcipular tergite: main tergite of the forcipular segment. forcipular pleurite/pleurites: lateral sclerite of the forcipular segment. scapula/scapulae: [Geo] dorsal ridge of the forcipular pleurite. Fig. 27(forcipular) scapular point/points: [Geo] projecting anterior tip of the forcipular scapula. (forcipular) PageBreakcollar: [Lit] ventral transversal bridge connecting the forcipular pleurites. (forcipular) coxa/coxae: [Scu] one of the paired sclerites basal to the forcipules, bearing spine-bristles on the anterior margin. (forcipular) coxosternite: entire sclerite corresponding to sternite and coxae of the forcipular segment. (forcipular) coxopleural suture/sutures: suture between the forcipular pleurite and the forcipular coxae or coxosternite. (forcipular) coxosternal condyle/condyles: condyle of the forcipular coxa or coxosternite serving the articulation with the trochanteroprefemur. cerrus/cerri: [Geo] one of the paired groups of setae on the dorsal side of the forcipular coxosternite. condylar process/processes: [Geo] one of the paired projections of the forcipular coxosternite, close to the dorsal coxosternal condyles shoulder/shoulders (of forcipular coxosternite): [Lit] one of the paired obtuse projections on the anterior margin of the forcipular coxosternite. median diastema: median concavity on the anterior margin of the forcipular coxosternite. tooth/teeth: sclerotised, short, subconical projection on the anterior margin of the forcipular coxosternite. tooth-plate/tooth-plates: one of the paired sclerotised, flat, teeth-bearing projections on the anterior margin of the forcipular coxosternite. denticle/denticles: [Geo] one of the paired small, subconical projections on the anterior margin of the forcipular coxosternite. porodont/porodonts: [Lit] one of the paired large setae usually placed lateral to the forcipular coxosternal teeth. porodont node/nodes: [Lit] basal structure from which the porodont arisesmedian cleft: [Lit] mid-longitudinal suture on the ventral side of the forcipular coxosternite. chitin-line/chitin-lines: [Geo] one of the paired paramedian sclerotised narrow stripes on the ventral side of the forcipular coxosternite. PageBreakSyn.: chitinous line/lines, pleurogram/pleurograms, (subcondylic) sclerotic line/linesPageBreakmedian embayment: median notch at the posterior margin of the forcipular coxosternite. forcipule/forcipules: telopodite of the forcipular segment. trochanteroprefemur/trochanteroprefemora: first article of the forcipule. (forcipular) trochanteral suture/sutures: trace of suture on the forcipular trochanteroprefemur. Fig. 29(forcipular) intermediate article/articles: one of the second and third articles of the forcipule. Syn.: intercalary article/articles, intermediate joint/joints(forcipular) femur/femora: second article of the forcipule. (forcipular) tibia/tibiae: third article of the forcipule. (forcipular) tarsus/tarsi: [Scu] fourth article of the forcipule. (forcipular) ungulum/ungula: [Scu] terminal articulated element of the forcipule. tarsungulum/tarsungula: ultimate article of the forcipule. (forcipular) process/processes of (forcipular) tronchanteroprefemur: large projection on the mesal side of the forcipular trochanteroprefemur. denticle/denticles: [Geo] small subconical projection on the mesal side of the forcipule. (forcipular) proximal denticle/denticles (of trochanteroprefemur): [Geo] the most basal of two denticles along the mesal side of the forcipular trochanteroprefemur. distal denticle/denticles (of trochanteroprefemur): [Geo] the most distal of two denticles along the mesal side of the forcipular trochanteroprefemur. Fig. 27basal denticle/denticles (of tarsungulum): [Geo] denticle at the base of the forcipular tarsungulum. spine comb/combs: [Scu] row of spines on the forcipular tarsus(forcipular) PageBreakleg-bearing segment/segments: segment of the trunk bearing paired walking appendages. tergite/tergites (of leg-bearing segment): sclerite on the dorsal side of a leg-bearing segment. stomatotergite/stomatotergites: [Scu] tergite bearing a stoma. Fig. 35stoma/stomata: [Scu] elongate opening of the respiratory organs on the posteromedian part of a stomatotergite. stoma-saddle/stoma-saddles: [Scu] domed region of the stomatotergite surrounding the stoma. margination/marginations (of tergite): marginal ridge on a tergite. posterior triangular projection/projections (of tergite): [Lit] angulated projection on each posterior corner of a tergite. pretergite/pretergites: anterior sclerite of the two dorsal sclerites of a leg-bearing segment. metatergite/metatergites: posterior sclerite of the two dorsal sclerites of a leg-bearing segment. paramedian sulcus/sulci or suture/sutures (of tergite): one of the paired paramedian longitudinal sutures or sulci on a tergite. transverse sulcus/sulci or suture/sutures (of tergite): [Sco] transverse suture or sulcus on the first trunk tergite. (anterior) cruciform suture/sutures (of tergite): [Sco] pair of crossed sutures on the first trunk tergite. Fig. 33oblique suture/sutures (of tergite): [Sco] one of the paired oblique sutures on some anterior trunk tergites. lateral longitudinal suture/sutures (of tergite): [Sco] one of the paired longitudinal sutures close to the lateral margins of a tergite. lateral crescentic sulcus/sulci (of tergite): [Sco] one of the paired curved, sublongitudinal sulci on a tergite. eupleurium/eupleuria: the whole of pleurites on a side of a leg-bearing segment. pleural membrane/membranes: arthrodial membrane between pleuritesparatergite/paratergites: [Geo] pleurite contiguous or almost contiguous to a tergite. Fig. 36intercalary paratergite/paratergites: [Geo] paratergite lateral to a pretergite. primary intercalary paratergite/paratergites: [Geo] the most mesal of two intercalary paratergites. secondary intercalary paratergite/paratergites: [Geo] the most distal of two intercalary paratergites. principal paratergite/paratergites: [Geo] paratergite lateral to a metatergite. scutellum/scutella: pleurite in antero-ventral position with respect to the stigmatopleurite. spiracle/spiracles: one of the paired openings of the tracheae on the lateral sides of a leg-bearing segment. stigmatopleurite/stigmatopleurites: pleurite bearing a spiracle. catapleurite/catapleurites: pleurite between the scutellum and the coxa. eucoxa/eucoxae superior/superiores: [Lit] pleurite dorsal to the coxaeucoxa/eucoxae inferior/inferiores: [Lit] pleurite ventral to the coxapleurocoxa/pleurocoxae: [Geo] pleurite between coxa and metacoxasubcoxa/subcoxae: pleurite anterior or posterior to the coxa. Syn.: subcoxal pleurite/pleuritesprocoxa/procoxae: subcoxa anterior to the coxa. metacoxa/metacoxae: subcoxa posterior to the coxa. sternite/sternites (of leg-bearing segment): sclerite on the ventral side of a leg-bearing segment. presternite/presternites: anterior region of the single sternite of a leg-bearing segment, or anterior sclerite of the two ventral sclerites of a leg-bearing segment. metasternite/metasternites: posterior region of the single sternite of a leg-bearing segment, or posterior sclerite of the two ventral sclerites of a leg-bearing segment. transverse sulcus/sulci (of sternite): [Sco] transverse sulcus on a sternite. median longitudinal sulcus/sulci (of sternite): [Sco] mid-longitudinal sulcus on a sternite. cruciform suture/sutures (of sternite): [Sco] the pair of transverse and median longitudinal sulci on a sternite. trigonal suture/sutures (of sternite): [Sco] pair of crossed sutures on the posterior part of the sternite. endosternite/endosternites: posterior projection of a sternite, covered by the sternite of the following segment. carpophagus peg/pegs: [Geo] median projection on the posterior margin of a sternite, in the carpophagus-structure. carpophagus pit/pits: [Geo] median socket on the anterior margin of a sternite, in the carpophagus-structure. carpophagus-structure/carpophagus-structures: [Geo] whole of a carpophagus peg and the associated carpophagus pit. Fig. 37ventral pore/pores: [Geo] glandular pore on the ventral side of a leg-bearing segment. pore-field/pore-fields: [Geo] an area of clustered pores on the ventral side of a leg-bearing segment. sternobothrium/sternobothria: [Geo] median horseshoe-like pit on the metasternite. Fig. 40transverse fossa/fossae (of sternite): [Geo] transverse, ellipical depression on some trunk sternites. fungiform fovea/foveae: [Geo] median T-like pit on the metasternitevirguliform fossa/fossae: [Geo] comma-like pit at each of the anterior corners of a sternite. lateral gutter/gutters (of sternite): [Geo] longitudinal groove along the lateral margin of a sternite. leg/legs: one of the paired appendages of the trunk to the exclusion of the forcipules and the gonopods. cursiped/cursipeds: [Lit] a leg of the pairs 1\u201313. tenaciped/tenacipeds: [Lit] a leg of the pairs 14\u201315. PageBreakarticle/articles: one of the articulated elements of a leg. (leg) coxa/coxae: the most basal article of a leg. Fig. 38(leg) trochanter/trochanters: small, basalmost article of a telopodite. Fig. 38(leg) prefemur/prefemora: second article of a telopodite. (leg) femur/femora: third article of a telopodite. Fig. 43(leg) tibia/tibiae: fourth article of a telopodite. (leg) tarsus/tarsi: fifth article of a telopodite, when ultimate. Fig. 43(leg) tarsal article/articles: one of the articles of a biarticulated region of the leg corresponding to the tarsus. Syn.: tarsalium/tarsalia, tarsomere/tarsomerestarsus/tarsi 1: the basal article of two tarsal articles. tarsus/tarsi 2: the distal article of two tarsal articles. annulation/annulations: each part of a tarsal article, between two contiguous constrictions. carina/carinae: [Scu] longitudinal ridge on a leg article. tarsal papilla/papillae: [Scu] relatively short, stout projection with a rounded tip, on the ventral side of tarsus 2. resilient sole-hair/sole-hairs: [Scu] one of the paired hairs thickened at the base, on the ventral side of the leg, originating near the posteromedian margin of each tarsal papilla. spur/spurs: spur on legs. (leg) distal spinose projection/projections (of tibia): [Lit] spinous process at the distal end of the tibia of a leg. pectinal seta/setae: [Lit] one of the decumbent setae arranged in rows along the tarsal articles of legs. pecten/pectines: [Lit] row of pectinal setae. pretarsus/pretarsi: apical element articulated at the tip of a leg. claw/claws: pretarsus in shape of a claw. PageBreakfundus/fundi (of claw): basal, swollen part of a claw. unguis/ungues proper: distal, slender part of a claw. accessory spine/spines: slender, pointed projection at the base of the claw. anterior accessory spine/spines: the anterior accessory spine of two of a claw. posterior accessory spine/spines: the posterior accessory spine of two of a claw. posteroventral spine/spines: [Lit] the largest of a pair of spines emerging on the ventro-posterior side at the base of a claw, close to the posterior accessory spine. subsidiary spine/spines: [Lit] the smallest of a pair of spines emerging on the ventro-posterior side at the base of a claw, close to the posterior accessory spine. fibulunguis/fibulungues: [Geo] pretarsus with a large projection flanking the unguis proper. penultimate leg/legs: leg of the penultimate pair. ultimate leg-bearing segment: leg-bearing segment bearing the ultimate pair of legs. ultimate pretergite: [Geo] pretergite of the ultimate leg-bearing segment. Fig. 50intercalary pleurite/pleurites: [Geo] pleurite contiguous to the ultimate pretergite. pleuropretergite: [Geo] entire sclerite corresponding to the ultimate pretergite and the two intercalary pleurites. Fig. 49(ultimate) tergite (or metatergite) of the ultimate leg-bearing segment: main tergite of the ultimate leg-bearing segment. ultimate presternite: [Geo] presternite of the ultimate leg-bearing segment. Fig. 51sternite (or metasternite) of the ultimate leg-bearing segment: main sternite of the ultimate leg-bearing segment. PageBreakPageBreakultimate leg/legs: one of the legs of the ultimate pair. coxopleuron/coxopleura: basal element of the ultimate leg, corresponding to coxa and pleurites. coxopleural process/processes: [Sco] posterior process of the coxopleuron. spine/spines: [Sco] spine on the coxopleuron. side spine/spines: [Sco] spine on the posterior margin of the coxopleuron mesal to the coxopleural process. coxal pore/pores: one of the pores of the coxal organs on posterior legs. macropore/macropores: [Geo] coxal pore that is distinctly larger than the other pores. Fig. 51gutter-like depression/depressions: [Lit] depressed area on the coxopleuron containing the openings of the coxal organs. Fig. 53 pit/pits: [Geo] pit on the coxopleuron, containing the openings of the coxal organs. fossa/fossae: [Geo] longitudinal pouch close to the mesal margin of the coxopleuron, containing the openings of the coxal organs. Syn.: cavity/cavities, fossula/fossulae pore-field/pore-fields: part of the surface of the coxa or coxopleuron of the ultimate legs containing the coxal pores. prefemoral spine/spines: [Sco] spine on the prefemur of ultimate and/or penultimate legs. prefemoral (spinous) process/processes: [Sco] process, usually bearing spines, on the prefemur of the ultimate legs. corner spine/spines: [Sco] spine on the distal end, on the mesal side, of the prefemur of ultimate legs. saw tooth/teeth: [Sco] one of the bluntly pointed projections arranged in rows on the tibia and tarsus 1 of ultimate legs. ultimate pretarsus/pretarsi: pretarsus of the ultimate leg. Fig. 56PageBreakPageBreakpostpedal segments {plural only}: part of the trunk posterior to the ultimate leg-bearing segment. intermediate tergite: [Lit] tergite posterior to the tergite of the ultimate leg-bearing segment, corresponding to the intermediate sternite. intermediate sternite: sternite between the sternite or metasternite of the ultimate leg-bearing segment and the first genital sternite. Fig. 54intermediate pleurite/pleurites: [Geo] one of the two pleurites flanking the intermediate sternite. Fig. 54first genital tergite: [Lit] tergite posterior to the intermediate tergite, corresponding to the first genital sternite. Fig. 57first genital sternite: sternite between the intermediate sternite and the second genital sternite, usually associated with gonopods. first genital pleurite/pleurites: one of the two pleurites flanking the first genital sternite. first genital pleurosternite: entire sclerite corresponding to the first genital sternite and the relevant pleurites. Fig. 58first genital coxite/coxites: [Scu] one of the paired sclerites lateral to the first genital sternite. Fig. 59second genital sternite: sternite posterior to the first genital sternite. gonopod/gonopods: one of the paired appendages usually associated with the first or the second genital sternite. style/styles: [Scu] styliform male gonopod. Fig. 60 proarthron: [Scu] basal part of the complex of the paired female gonopods, composed of the basal contiguous parts of the basal articles of the gonopods. Fig. 59depression/depressions of proarthron: [Scu] one of the paired depressions on the proarthron. Fig. 59mesarthron: [Scu] median part of the complex of the paired female gonopods, composed of the distal separated parts of the basal articles of the gonopods. Fig. 59sinus of mesarthron: [Scu] concave median posterior margin of the mesarthron. Fig. 59metarthron: [Scu] terminal part of the complex of the paired female gonopods. Fig.\u00a059syntelopodite: [Scu] coalescent pair of female gonopod telopodites. Fig. 59 first article/articles: basal article of the gonopod. telopodite/telopodites: [Lit] articles of the gonopod other than the first article. Fig. 61 third article/articles: [Lit] third article of the gonopod. claw/claws: [Lit] apical claw of the female gonopod. Fig. 61 spur/spurs: [Lit] spur on the female gonopod. plinth/plinths: [Lit] swollen projection bearing a gonopodal spur. Fig.\u00a061 papilla/papillae: [Lit] relatively short, stout projection with a rounded tip, on the gonopod supplementary spur/spurs: [Lit] spur on the female gonopod other than those invariantly present lateral denticle/denticles : [Lit] one of the denticles on one or both sides of a gonopodal claw. gonopodal lamina: [Geo] entire median projection, corresponding to the paired female gonopods. penis: median projection bearing the male genital pore. postpedal tergite: the most posterior tergite of the trunk. lamina adanalis: [Sco] median dorsal flat projection on the posterior tip of the female body. lamina subanalis: [Sco] median ventral flat projection on the posterior tip of the female body. Fig. 63subanal plate/plates: [Scu] one of the paired ventrolateral sclerites in the telson. Fig.\u00a059anogenital capsule: [Cra] terminal, capsule-like part of the trunk. anal pore/pores: one of the pores of the anal organs, on the ventro-lateral sides of the telson. anal valve/valves: one of the paired rounded flat projections on the ventral side of the telson. Fig. 58Conventional abbreviations recommended for describing particular elements and patterns of elements are described below.Antennal articles in Geophilomorpha. Each article is indicated by a Roman number, from the most basal article (I) to the most distal one (XIV).PageBreakArrangement of ocelli in Lithobiomorpha. The number of ocelli in different rows are indicated from the most dorsal row to the most ventral row, separated by commas .Pattern of teeth on the anterior margin of the forcipular coxosternite in Lithobiomorpha and on the tooth-plates in Scolopendromorpha. The number of teeth is indicated for the right and the left side, separated by a plus [nright + nleft].Leg-bearing segments and pairs of legs. Each leg-bearing segment, or the corresponding pair of legs, is indicated by an Arabic number, from the most anterior one (1) to the most posterior one.Tergites and sternites of the leg-bearing segments. Each tergite and sternite is indicated by T and S respectively , followed by an Arabic number, from the most anterior ones (T1 and S1) to the most posterior ones.Arrangement of spurs on the legs in Lithobiomorpha are indicated in parentheses. Spurs that could be present on one side only are marked by an asterisk. Additional spurs are indicated by the abbreviation of their position typed as a superscript to the corresponding spur . Legs with the same plectrotaxy in both ventral and dorsal side can be indicated in distinct rows or in a single, common line. This convention was first proposed by Pattern of coxal pores on the legs in Lithobiomorpha. The number of coxal pores is indicated from anterior to posterior legs, without separation between the numbers [\u2026n13n14n15]."}
+{"text": "Following the publication of our article, an erroThe GenBank accession number was incorrectly stated as:EX721840Forward primer: CCCTGTGGAAGTGGCTGAAGReverse primer: CATCCAAGGGTCCGTATCTCTTThe correct GenBank accession number should be:EX722124 Forward primer: CGGTATCCTCAAGCCCAACA Reverse primer: GTCAGAGACTCGTGGTGCATCTWe apologise for any inconvenience this may have caused."}
+{"text": "The SLE Subcommittee of the Childhood Arthritis and Rheumatology Research Alliance (CARRA) is developing standardized treatment plans for proliferative lupus nephritis (LN) in childhood-onset SLE (cSLE) which will serve as the basis for future comparative effectiveness studies. The Initial Delphi survey revealed wide variability in the treatment of LN in cSLE. This abstract decribes the process of developing standardized evidence-based induction treatment plans for LN in cSLE by using consensus methods.A consensus conference attended by 12 trainees and 42 voting members of the CARRA SLE Subcommittee was conducted to discuss the components of the LN treatment plan for which there was wide variability and poor agreement. After the face-to-face conference, a second online survey focusing on management aspects of the induction therapy for LN was sent to the 42 voting members of the SLE Subcommittee of CARRA to resolve remaining issues. Consensus was defined at 70%.[see Figure A] Consensus was attained on: a) inclusion and exclusion criteria; b) primary and secondary outcome measures; and c) time-points for assessing patient response. No consensus was reached on the following points: a) age cut-off for the definition of childhood-onset SLE; b) need for SLE-specific quality of life measure; and c) measures of adherence to be utilized. These are being addressed through subsequent surveys.At the conference, two immunosuppressive treatment options for the 6-month induction phase, cyclophosphamide and mycophenolate mofetil, were selected. Three steroid regimens with corresponding tapering schedules were developed to reduce variability in steroid exposure Several important consensus points were achieved in the development of induction treatment plans for proliferative lupus nephritis in childhood-onset SLE. Further refinement of these treatment plans and development of plans for maintenance therapy are needed to allow their use in future studies aimed at optimizing therapy for lupus nephritis.Rina Mina: NIH, 2; Hermine Brunner: NIAMS-NIH, 2; Barbara Anne Eberhard: None; Marilynn G. Punaro: None; Stacy P. Ardoin: None; Marisa S. Klein-Gitelman: None; Linda Wagner-Weiner: None; Lakshmi N. Moorthy: None; Joyce J. Hsu: None; Eyal Muscal: None; Suhas M. Radhakrishna: None; Laura E. Schanberg: Pfizer Inc, 2; Carol A. Wallace: None; Norman T. Ilowite: None; Emily Von Scheven: None."}
+{"text": "Following the publication of our article we becamDMAJNCHD: Date of above (days elapsed from randomisation)DSIDED: Date of above (days elapsed from randomisation)DRSISCD: Date of above (days elapsed from randomisation)DRSHD: Date of above (days elapsed from randomisation)DRSUNKD: Date of above (days elapsed from randomisation)DPED: Date of above (days elapsed from randomisation)DALIVED: Date of above (days elapsed from randomisation)DDEADD: Date of above (days elapsed from randomisation)FLASTD: Date of last contact (days elapsed from randomisation)FDEADD: Date of death (days elapsed from randomisation)FU1_RECD: Date discharge form received (days elapsed from randomisation)FU2_DONE: Date 6 month follow-up done (days elapsed from randomisation)FU1_COMP: Date discharge form completed (days elapsed from randomisation).http://datashare.is.ed.ac.uk/). Both this corrected and the erroneous version of the dataset are available to allow comparison with any previous analyses of the data. The corrected submission states clearly that it supersedes an earlier one.These errors, that were introduced in the process of anonymisation, have now been corrected in the final, double checked version of the dataset, which is also available at the University of Edinburgh repository (see"}
+{"text": "The involvement of particulate matter (PM) in cardiorespiratory diseases is now established in developed countries whereas in developing areas such as Africa with a high level of specific pollution, PM pollution and its effects are poorly studied. Our objective was to characterize the biological reactivity of urban African aerosols on human bronchial epithelial cells in relation to PM physico-chemical properties to identify toxic sources.Size-speciated aerosol chemical composition was analyzed in Bamako and Dakar for Ultrafine UF, Fine F and Coarse C PM. PM reactivity was studied in human bronchial epithelial cells investigating six biomarkers (oxidative stress responsive genes and pro-inflammatory cytokines).PM mass concentrations were mainly distributed in coarse mode (60%) and were impressive in BK1 due to the desert dust event. BK2 and DK samples showed a high content of total carbon characteristic of urban areas. The DK sample had huge PAH quantities in bulk aerosol compared with BK that had more water soluble organic carbon and metals. Whatever the site, UF and F\u00a0PM triggered the mRNA expression of the different biomarkers whereas coarse PM had little or no effect. The GM-CSF biomarker was the most discriminating and showed the strongest pro-inflammatory effect of BK2 PM. The analysis of gene expression signature and of their correlation with main PM compounds revealed that PM-induced responses are mainly related to organic compounds. The toxicity of African aerosols is carried by the finest PM as with Parisian aerosols, but when considering PM mass concentrations, the African population is more highly exposed to toxic particulate pollution than French population. Regarding the prevailing sources in each site, aerosol biological impacts are higher for incomplete combustion sources resulting from two-wheel vehicles and domestic fires than from diesel vehicles (Dakar). Desert dust events seem to produce fewer biological impacts than anthropogenic sources.Our study shows that combustion sources contribute to the high toxicity of F and UF PM of African urban aerosols, and underlines the importance of emission mitigation and the imperative need to evaluate and to regulate particulate pollution in Africa. A number of epidemiological studies have now established associations between exposure to particulate pollution and increased morbidity and mortality for respiratory and cardiovascular diseases . Toxicol2, SO2 and particles) observed in African cities being at same levels as in Asian megacities pyrene) with 14%. 85% of total PAH were heavy PAH (5\u20136\u00a0cycles). This distribution profile and especially the relative abundance of BghiP were typical of diesel exhaust sources fluoranthene; BghiP: Benzo[ghi]perylene; BK: Bamako; C: Coarse; CHR: Chrysene; COPD: Chronic obstructive pulmonary disease; CYP1A1: Cytochrome P450 1A1; DK: Dakar; ELISA: Enzyme linked immunosorbent assay; F: Fine; FLUA: Fluoranthene; GM-CSF: Granulocyte macrophage-colony stimulating factor; HO-1: Heme oxygenase 1; IARC: International agency for research on cancer; IL-6: Interleukin 6; IncdP: Indenopyrene; UV: Ultraviolet; IR: Infrared; NHBE: Normal human bronchial epithelial; NQO-1: NADPH quinine oxydoreductase 1; OC: Organic carbon; PCR: Polymerase chain reaction; PHE: Phenanthrene; PM: Particulate matter; POLCA: Pollution des capitales africaines; POM: Particulate organic matter; PYR: Pyrene; UF: Ultrafine; RPL-19: Ribosomal protein L19; TC: Total carbon; WSOC: Water soluble organic carbon; XME: Xenobiotic responsive element.The authors declare no conflict of interest.SV performed the biological analyses, interpreted the results and contributed to write the paper. CL designed the research and with EHTD performed field experiments, analyzed the data and drafted the paper. CGL designed the research and performed field experiments with EG. HC contributed to the interpretation of the data. EHTD, HC, NM, EGand AS performed the chemical analysis. AB provided advices for statistical analysis. ABS directed the joint project and contributed to write the paper. All authors read and approved the manuscript.Correlation coefficients (Pearson) between biomarker responses induced by Parisian PM exposure. Correlations were calculated with results of Val et al. [l et al. for UF aClick here for file"}
+{"text": "There is an error in the author contributions. KMB should be listed in \"wrote the paper\" rather than DME. The correct author contributions are: Conceived and designed the experiments: KMB CLE DME. Performed the experiments: KMB JMT MDD. Analyzed the data: KMB. Contributed reagents/materials/analysis tools: KMB. Wrote the paper: KMB. Edited the manuscript: CLE DME."}
+{"text": "In the Author Contributions statement, the last author (HRB) was incorrectly omitted from the list of those authors who wrote the paper. The Author Contributions statement should read: \"Conceived and designed the experiments: RLK HRB BS. Performed the experiments: RLK CS MR BS. Analyzed the data: RLK AG. Contributed reagents/materials/analysis tools: CS MR JS RF RKW. Wrote the paper: RLK RKW CJ EB NT SEH HRB.\""}
+{"text": "Bacillus licheniformis, an important industrial enzyme producer. Thereby, valuable insights which help to understand the complex interactions during such processes are provided.Industrial fermentations can generally be described as dynamic biotransformation processes in which microorganisms convert energy rich substrates into a desired product. The knowledge of active physiological pathways, reflected by corresponding gene activities, allows the identification of beneficial or disadvantageous performances of the microbial host. Whole transcriptome RNA-Seq is a powerful tool to accomplish in-depth quantification of these gene activities, since the low background noise and the absence of an upper limit of quantification allow the detection of transcripts with high dynamic ranges. Such data enable the identification of potential bottlenecks and futile energetic cycles, which in turn can lead to targets for rational approaches to productivity improvement. Here we present an overview of the dynamics of gene activity during an industrial-oriented fermentation process with B. licheniformis DSM13. Since a significant amount of genes in Bacillus strains are regulated posttranscriptionally, the generated data have been confirmed by 2D gel-based proteomics. Regulatory events affecting the coordinated activity of hundreds of genes have been analyzed. The data enabled the identification of genes involved in the adaptations to changing environmental conditions during the fermentation process. A special focus of the analyses was on genes contributing to central carbon metabolism, amino acid transport and metabolism, starvation and stress responses and protein secretion. Genes contributing to lantibiotics production and Tat-dependent protein secretion have been pointed out as potential optimization targets.Whole transcriptome RNA-Seq has been performed to study the gene expression at five selected growth stages of an industrial-oriented protease production process employing a germination deficient derivative of B. licheniformis to changing conditions over the course of a typical fermentation process in such extensive depth.The presented data give unprecedented insights into the complex adaptations of bacterial production strains to the changing physiological demands during an industrial-oriented fermentation. These are, to our knowledge, the first publicly available data that document quantifiable transcriptional responses of the commonly employed production strain Bacillus subtilis group -1-propanesulfonate; CoA: Coenzyme A; Da: Dalton; DHAP: Dihydroxyacetone phosphate; DTT: Dithiothreitol; F6P: Fructose 6-phosphate; FBP: Fructose 1,6-bisphosphate; FDR: False Discovery Rate; g: Gravitational constant; G6P: Glucose 6-phosphate; GADP: Glyceraldehyde 3-phosphate; GDH: Glutamate dehydrogenase; GO: Genome ontology; GOGAT: Glutamate synthase; GS: Glutamine synthetase; H: Hours; H2O2: Hydrogen peroxide; HCl: Hydrogen chloride; IEF: Isoelectric focusing; IPG: Immobilized pH gradient; kVh: Kilovolt hour; M: Molar; m/z: Mass-to-charge ratio; MALDI: Matrix-assisted laser desorption/ionization; min: Minute; mL: Milliliter; mM: Millimolar; mm: Millimeter; NPKM: Nucleotide activity per kilobase of exon model per million mapped reads; Oxo: Oxoglutarate; P: Phosphate; PEP: Phosphoenolpyruvate; Pyr: Pyruvate; RK motif: Twin-arginine motif; RNA-Seq: RNA sequencing; Rrpm: Revolutions per minute; RR motif: Arginine-lysine motif; s: Second; S/N: Signal-to-noise ratio; SDS: Sodium dodecyl sulfate; SRP: Signal recognition particle; Tat: twin-arginine translocation; TAXI: TRAP-associated extracytoplasmic immunity protein; TCA: Tricarboxylic acid; TOF: Time-of-flight mass spectrometer; TRAP: Tripartite ATP-independent periplasmic dicarboxylate transporter; V: Volt; v/v: Volume per Volume; Vh: Volt hour; W: Watt; w/v: Weight per volume.The authors declare that they have no competing interests.SW performed the experiments, analyzed data and wrote paper, BV supervised proteomics experiments and analyzed data, DA performed mass spectrometry analyses, JB and SE provided industrial fermentation facilities and organized fermentation and sampling, MH granted access to facilities for proteome analysis, RD wrote paper and provided research facilities, HL wrote paper, designed research and analyzed data. All authors read and approved the final version of the manuscript.Figure S1: Protease production and process parameters. Figure S2: Proteome of the amino acid metabolism \u2013 Part I. Figure S3: Proteome of the amino acid metabolism \u2013 Part II. Figure S4: Amino acid transport. Figure S5: Proteome of the central carbon metabolism. Figure S6: Carbohydrate transport. Figure S7: Acetoin utilization operon acuABC. Figure S8: Most abundant proteins. Figure S9: Lichenicidin gene cluster. Figure S10: Cell envelope stress response. Figure S11: Sporulation. Figure S12: Iron starvation. Figure S13: Heat shock response. Figure S14: Phosphate stress response. Figure S15: Putative Tat signal peptide of Subtilisin Carlsberg.Click here for fileTable S1: k-means clustering of expression profiles. Table S2: GO term enrichment analysis of k-means clusters. Table S3: Proteome data.Click here for file"}
+{"text": "Please view Figure 2a in its original size here: The legend for Figure 4b refers to left and right panels rather than top and bottom panels. The correct legend for Figure 4b should read:The shapes of the binding pockets in the free and the antigen bound states: The top panel (apo form) and the bottom (METH complex) show identical cross sections. The entrance of the binding pocket is broader in apo structure, compared to the METH complex. Color code: Top panel: heavy chain -magenta and light chain -light pink. Bottom panel: heavy chain- blue light chain-light blue."}
+{"text": "AbstractCheiloneurusflaccus is reported from New Zealand for the first time. Cheiloneurusflaccus a distinctive species of encyrtid found widely in the New World, and also Australia Type status:Other material. Occurrence: recordedBy: Stephen Thorpe; individualCount: 2; sex: female; Location: country: New Zealand; verbatimLocality: Tamaki Campus of University of Auckland; verbatimLatitude: 36.88661S; verbatimLongitude: 174.85253E; Event: eventDate: 20 April 2013; Record Level: institutionCode: Auckland MuseumCheiloneurusflaccus, using the redescription by Cheiloneurusflaccus is a distinctive species, quite different to the two congeneric species already known from N.Z. The antenna, in particular, is distinctive, with the first segment of the funicle much longer than the pedicel also occur on the campus. I recommend that Cheiloneurusflaccus be added to the New Zealand Organisms Register (NZOR) as exotic, present in the wild.On 20 April 2013, while looking for insects in swards of long grass on the Tamaki Campus of the University of Auckland, I noticed two specimens of an unusual looking encyrtid. I collected one of the two specimens (see Figs"}
+{"text": "There were errors in the Author Contributions section. The correct version of this section is available below.Conceived and designed the experiments: VA UV EK LKV. Performed the experiments: FBF MS EK LKV, Analyzed and interpreted the data: VA UV SG JH EK LKV. Contributed reagents/materials/analysis tools: MS JH EK. Wrote the paper: VA UV LKV EK. Rose the funding: VA EK."}
+{"text": "Assam is very rich in plant biodiversity as well as in ethnic diversity and has a great traditional knowledge base in plant resources. It is inhabited by the largest number of tribes and they lead an intricate life totally dependent on forest plants. The Mising is the major section and second largest tribal community of Assam and have a rich tradition of religion and culture. Their religious practices and beliefs are based on supernaturalism. A study of the plants related to magico religious beliefs in Dobur Uie of Mising is carried out. The results revealed the use of 30 plants belonging to 23 families. All plant species are used both in religious purpose as well as in the treatment of different ailments. Details of the uses of plants and conservational practices employed in Dobur Uie are provided. Our findings on the use of plants in Dobur Uie ritual reflect that some plants are facing problems for survival and they need urgent conservation before their elimination. Because this elimination may threat the rich tradition of Mising culture. Most of the plants that are domesticated for different rituals are almost same in all Mising populated areas. Plants are used in many ways including worshipping gods and goddesses for the protection and betterment of human life. In every human society worship is performed with traditional rituals for well-being. Many tribal communities preserve this tradition through folklore and worship their deities right from the occasion of birth to mourning death. They perform specific worship with pressie offerings.In India various gods and goddesses are worshipped in different religions throughout the country. Various plant parts like bark, twigs, leaves flowers, fruits and seeds are offered to gods. There are many plants grown near the different religious institutions are regarded as sacred plants by different ethnic groups of the country. They preserve the plants by all means which are used in different rituals. At a time when ecological degradation and deforestation have been taking place at an alarming rate throughout the globe, in India thousands of pockets of natural vegetation scattered throughout the country are preserved almost in pristine condition -5. AlmosTribal folklore is rich in magico-religious beliefs and taboos. They believe that some gods and deities reside on the trees in the forest. If they do not show mark respect to them their full clan will be destroyed. So they preserve the plants which they regard sacred for social, cultural and religious purposes. Their taboos, festivals, rituals and other cultural aspects are closely associated with the surrounding vegetation preserved on religious ground. The fear of getting attacked by the forest spirits or getting cursed by the deities eventually makes the local communities to resort to worship the spirits and making sacrifices and offerings to pacify them. Although the taboos, self imposed restricted and extra care exhibited by the community have significantly contributed in preserving the religious plants intact and in good shape thereby conserving a whole range of biodiversity that is housed in it. There is an inextricable link between indigenous and biological diversity. All over the world the indigenous people have protected the biodiversity with which they have symbiotic relationship . It has Assam is situated in the North eastern region of India lying between 24\u00b0- 28\u00b0 N and 90\u00b0- 96\u00b0 E Figure . The entThe Misings are one of the tribal communities of Assam. By faith they are the worshippers of 'Dony'(The Sun) and 'Polo' (The Moon) Figure . They clPhragmites karka), a kind of wild reed, its stems and bamboo to indicate prohibition against the entry of the outsiders into the village. After the completion of the prohibitory indicators at the entry points they come back to the village and they form a group consisting of 20 members approximately and start visiting the house holds of the village. Usually the visit starts from the eastern corner of the village. The members of the visiting group carry rods, sticks etc.in their hands and enter the courtyard of the houses. On entering they shout \"Ajenge! Ajenge!Bilangka\" and at the same time they strike the platforms, walls etc of the house with rods and sticks. On hearing this the house wife comes out with food materials (Ajenge dues) - a type of wild fern, a 'Tabong' (Imperata cylindrica) - a sharp grass and a split bamboo are placed on the altar facing the rising sun. Then the sacrifices of the animals like pigs and fowls are done. The heads, wings, legs of the poultries are mounted on specially designed sticks and erected them on the side of altar for Dobur ritual considering all relevant aspects and convenience. In early morning of the 'Dobur day' some selected male folks proceed to the main entry points of the village. There they erect some structure specially designed braided leaves of 'Piro' plant Figure like ricr Figure . Rice, AAreas analyzed: Research was carried out in these eight districts - Sonitpur, Lakhimpur, Dhemaji, Dibrugarh, Tinsukia, Sibsagar, Jorhat and Golaghat. These areas of Assam rich with traditional knowledge and a good vegetation cover were selected based on mopping up surveys during 2009-2010. The potential Mising areas were selected based on whether they still practice own social customs, beliefs, religious rites, taboos, totems, food habits, medicinal and agricultural practices, as it was observed that the utilization and conservation practices of the Mising tribes are intertwined with these. Also this kind of life style has created a proper understanding between them and nature, which has resulted in enormous amount of knowledge available with them. Exploration trips were conducted periodically and data on religious and conservation practices revealing information about their informal innovation were recorded with details. Initially, the stay in Mising areas was shorter periods, as the initial trips were aimed at establishing rapport with the Mising people. They will not pass the information to others so easily unless a cordial and social relationship with them is established. After making several trips to these areas good rapport could be established with them. Frequent field surveys were made. Headmen and Mibus of the hamlet were consulted to have easy access to the people and also to get uninhibited flow of information. Mising healers both men and women were invited for interview. They demonstrated about the different use of the medicinal plants : English; (Ass): Assamese; (Mis): Mising; (Nep): Nepali; (San): Sanskrit; (Hin): Hindi; (Ben): Bengali.Acorus calamus L.(Acoraceae)Vernacular names: Sweet flag (Eng), Bos(Ass); Alokoni (Mis); Bojho (Nep.) Bach: (Ben)Vacha (San)DCH 5063Description: A marshy, rhizomatous perennial herb.Parts used: RhizomeReligious virtue: People believe that spirits, devils cannot enter due to its odour. They put the rhizome at the four corners of the altar or at he entrance of the ritual site.Medicinal use: It cures bronchitis, rheumatic pain, diarrhoea, flatulence, Pneumonia and cough.Local status: RareAgeratum conyzoides L. (Asteraceae)Vernacular names: Eng: Goat weed; San: Visamustih; Hin: Visadodi; Ben: Uchunti; Ass, Mis: Gendelabon; Nep: Ilame jhar; Man: Khonjainapi DCH 5001Description: A hairy annual weed, 5 m-1 m tall; leaves opposite, hairy on both sides; margin toothed; flowers pale in heads.Parts used: The flowers, leaves, rootsReligious virtue: Flowers are used in the preparation of ApongMedicinal use: Infusion of roots is used as appetizer and ophthalmic; leaves are used to stop bleedingLocal status: AvailableAlpinia allughas (Retz.) Rosc. (Zingiberaceae)Vernacular names: Ass, Mis: Tora DCH 5006Description: Rhizomes tuberous, perennial, Leafy stem 1-2 meter highParts used: Leaf and rhizomeReligious virtue: The leaves of the plant are used as food wrappers or dishes in every Mising religious festival. The people regard the plant as sacred one.Medicinal use : Rhizomes are used in gout and colicLocal status: RareAlpinia malaccensis Rosc. (Zingiberaceae)Vernacular names.: Ass: Kaupat, Mis: Lisin DCH 5010Description: Rhizomes tuberous, perennial, Stems 1.5-3 meter highParts used: Leaf and rhizomeReligious virtue: Same as in A.allughasMedicinal use :Rhizomes are used for treatment of sores.Local status: RareAnanas comosus (L.) Merr. (Bromeliaceae)Vernacular names: Eng: Pineapple; San: Anamnasam; Hin: Ananas; Ben: Anaras; Ass: Matikathal; Nep: Bhui Katahar; Man: Keehom; Kar: Parokjongphong; Ngl: Yeangkong Peyong. Mis: Anaras DCH 5311.Description: A herbaceous perennial plant; leaves many, spirally arranged, linear-lanceolate, toothed on margins; inflorescence small, reddish, terminal, ovoid.Parts used:Tender leafReligious virtue: Tender leaf base is used in Apong preparationMedicinal use: Leaf base is crushed and the extract is given one time daily for amoebic dysentery and intestinal wormsLocal status: AvailableArtocarpus heterophyllus Lamk. (Moraceae)Vernacular names : Eng : Jack fruit; San : Panasah; Hin : Kathal; Ass, Mis : Kathal; Ben : Kathal; Nep : Katahar; Man : Theibong. DCH 6331Description : An evergreen tree, 18-25 m in height; leaves simple, alternate, coriaceous, entire, shiny; male flowers crowded on cylindrical receptacles; female flowers crowded on globose receptacles; fruits fleshy, many, oblong or round, covered with tubercles.Parts used : Roots, seeds.Religious virtue: Matured leaves are used in Apong preparation. Leaves are also used as dish in religious festivals.Medicinal use: Roots are used for diarrheaLocal status: AvailableAsparagus racemosus Willd (Liliaceae)Vernacular names:Eng: Wild Asparagus; San: Shatavari: Hin: Satawari;Nep: Kurilo, Mis: Otmul;Ass: Satmul; Ben: Satamuli; Man: Nunggarei. DCH 6019Description: A climbing slender plant with curved spines; leaves reduced to scales, leaf like cladodes succulent and green, flowers white in simple recemes; fruits three lobed, mature fruits are red in colour.Parts used: Tuberous roots, whole plantReligious virtue: In Lakhimpur district many people use whole plant near the entry of Dobur Uie venue. They believe that this plant will guard the people from the bad spirits.In Dhemaji district the tuberous roots are used in the preparation of Apong.Medicinal use: Root decoction is used as health tonic, it is diuretic, ophthalmic, galactagogue, aphrodisiac and carminative.Local status: Very rareBambusa tulda Roxb. (Poaceae)Vernacular names Jati banh (Ass); Peka (Hin); Taru Bans (Nep); Jati dibang (Mis)DCH 5054Description: Tufted bamboo reaching 30-50 meters in height.Parts used: Root, stem. leavesReligious virtue: Bamboo sticks and leaves are used in the main entrance of the Dobur Uie and in the four corners of the altar. The head and the feathers of the sacrificed chickens are hung on the bamboo sticks near the altar.Medicinal use : The decoction of roots taken internally to promote flow of urine.Local status: AvailableCentella asiatica (L.) Urban (Apiaceae)Hydrocotyle asiatica L.)Vernacular Names: Eng: Indian cassia lignea; San: Tamala patra; Hin: Tezpat; Ben: Tezpat; Ass, Mis: Tezpat; Nep: Tezpat; Man: Tezpat; Kar: Tezpat; Miz: Hnahrimtui DCH 6103Description: A small evergreen tree 4.5 m in height; leaves simple, opposite, lanceolate, glabrous, entire; flowers pale yellowish, in axillary panicle.Parts used: Leaves.Religious virtue: Leaves are used in Apong preparation and are offered in Ajenge DuesMedicinal use: The leaves are useful in gonorrhoea, rheumatism, diarrhea, enlargement of spleen and diabetes.Local status: RareClerodendrum colebrookianum Walp. (Verbenaceae)Vernacular names. Pakkom (Mis); Nephaphu (Ass) DCH 5019Description: Shrub with foetid smell; 1.5-2 meters high, Leaves ovate, Flowers white.Parts used: LeavesReligious virtue: The leaves of the 'Pakkom'are included in the Ajenge DuesMedicinal use: The leaves are used to kill the intestinal worms. Tender leaves are boiled and the soup is used for reducing blood pressure.Local status: AvailableDillenia indica L. (Dillenniaceae)Vernacular names. Elephant apple (Eng), Outenga (Ass): Sompa: (Mis), Nep: Chalta, Bhavya: (San) DCH 5013Description: A big tree; leave 10-15 cm broad, Flowers large, white, the fruits are used as vegetablesParts used: Sepal of the fruit.Religious virtue: The fruits are included in 'Ajenge Dues'. The sepals are sometimes used as 'Diya'or oil lamp Medicinal use: Fleshy calyx is used for stomach disorder. The jelly like pulp of the fruit is applied to scalp for curing dandruff and falling hairs.Local status: AvailableFicus racemosa L. (Moraceae)Vernacular names.: Eng:Cluster fig; Mis: Tajjig; San: Udumbarah); Ass: Jagnya dimaru); Nep: Dumri, Hin: Gular; Ben:Dumur DCH 5057Description: A middle sized deciduous tree, fruits are in large cluster on short leafless branches, leaves elliptic, ovate or ovate lanceolate.Parts used: Leaves, latexReligious virtue: The tender leaves are given in 'Ajenge Dues'. In all religious festivals of Mising people the leaves are used as the primary curry item.Medicinal use: The latex is used for piles and diarrhoea; Powdered dry leaves are mixed with honey and given in bilious affections.Local status: AvailableGomphostemma parviflora Wall. (Lamiaceae)Vernacular names: Ass, Mis: Bhedaitita DCH 6434Description: A stout undershrub with quadrangular stem covered with glandular hairs; leaves simple, opposite, short petioled; flowers zygomorphic, in axillary, double row of cymes, the pairs forming false whorls and are in sessile clusters round the stem, flowers fade yellow.Parts used: Leaves.Religious virtue: The tender leaves are used in Apong preparationMedicinal use: Leaves are used in Malaria.Local status: Very rareImperata cylindrica (L.) Raeusch. (Poaceae)Vernacular names: Eng: Thatch grass, San: Darbha, Mis: Kase, Tabong: Ass: Ulu kher: Nep: Siru: Hin, Ben: Ulu DCH 6336Description: Erect perennial grass, 1-2 meter in height. Leaf blades are very sharpParts used: Leaf and rootReligious virtue: The leaves are tied with fronds of Thelypteris multilineata at the south corner of the altar made for Dobur Uie. It symbolizes that no any other spirits can come and disturb people of the village.Medicinal use : Root is used for wounds and piles. It is anthelmintic. Decoction of root is taken in diarrhea and dysentery.Local status: AvailableKaempferia rotunda L. (Zingiberaceae)Vernacular names : Eng: Indian crocus; San: Bhumi champaka; Hin: Bhuichampa; Ben: Bhui champa; Ass: Bhumi champa; Nep: Bhuichampa; Man: Yai-Thamna-manbi; Kar: Michove; Miz: Tuktinpar DCH 5999Description: A small, erect plant with perennial rootstock and very short stem; leaves simple, erect, oblong or ovate-lanecolate, acuminate, variegated green above, tinged with purple below; flowers in crowded spikes fragrant, white, lip purple.Parts used: TubersReligious virtue: Tuber of the plant is used in Apong preparation. The Mising of Lakhimpur district believes that growing the plant brings peace in the family.Medicinal use: The tubers are used for wounds, ulcers, tumours, swellings and gastroenteritis.Local status: Very rareLeucas plukenetii (Roth) Spreng. (Lamiaceae)Vernacular names: Eng: Thumbe; San: Dronapuspi; Hin: Chota halkusa; Ben: Sada halkusa; Ass, Mis: Boga Doron; Nep: Dronapuspa; Man: Mayanglambum. DCH 6312Description: Small hairy, square stemmed, annual herb found in open fields and waste lands. The leavesof the plants are ovate-lanceolate, lobed, thin and hairy with a tapering base; flowers white, small, in dense terminal clusters, sessile.Parts used: Leaves.Religious virtue: The leaves are used in Apong preparation. It is not used by all MisingMedicinal use: The leaves are used as vegetables. Leaf juice is used in sinusitisLocal status: AvailableMicrosorum punctatum (L.) Copel (Polypodiaceae)Vernacular names: Eng: Climbing bird's nest fern, Ass: Kapau dhekia; Mis: Ising Okang DCH 6216Description: Terrestrial or epiphytic, Fronds sre sessile, leaf blades simple, reticulate venation, sori are irregularly scattered on the abaxial surface.Parts used: LeavesReligious virtue: Leaves are used in Apong preparation in Dhemaji and Lakhimpur district.Medicinal use: Leaf juice used as purgative, diuretic and healing wounds.Local status: RareMusa paradisiaca L. (Musaceae)Vernacular names. Ass: Kach kol; Nep: Kera, Hin: Kela; San: Kadali; Mis: Kopak. DCH 5091Description: Stoloniferous plant; leaves with sheathed petiole up to 9 meter long, flowers in a terminal spike.Parts used: Leaves, fruitsReligious virtue: Leaves and leaf sheaths are used as plates or dishes in the ritual. The materials required for observing Dobur Uie are kept in the leaf or leaf sheath dishes.Medicinal use: Fruits are used for chronic dysentery.Local status: AvailableNaravelia zeylanica (L.) DC. (Ranunculaceae)Vernacular names: San: Dhanavalli; Ben: Chagalbati; Ass: Goropchoi, Nep: Ras gagri; Meg: Jyrmailasam, Behalisham (Garo) DCH 6636Description: A woody stout climber; leaves opposite, 2-foliate, terminal leaflet ending in tendril, leaflets ovate-lanceolate;flowers yellow, in axillary and terminal panicles.Parts used: Leaf.Religious virtue: Leaves are used in Apong preparation. The Mising of Dhemaji believe that if they grow this plant inside their compound the bad spirits can not disturb them.Medicinal use: The leaves are anthelmintic; they are useful for wounds and ulcers.Local status: Very rareOldenlandia corymbosa L. (Rubiaceae)Vernacular names: Eng: Diamond flower; San: parapatah; Hin: Daman Pappar;Ass: Bonjaluk DCH 6212Description: A much spreading, annual herb, erect or spreading; leaves simple, opposite, sessile, flowers white, pedicelled, solitary.Parts used: whole plantReligious virtue: It is commonly used in Apong preparation. In Sibsagar district it is given in Ajenge Dues.Medicinal use: The plant is diuretic, stomachic, carminative and used as liver tonic. It is also used in jaundice.Local status: AvailableOryza sativa L. (Poaceae)Vernacular names: Eng: Rice; Ass:Dhan; Mis: Aam. DCH 6001Description: Annual cereal, Stem erect, cylindrical, hollow except in nodes, leaf blade long, lanceolate, acuminate, inflorescence is partly covered by leaf sheath, Spikelets are borne either singly or in cluster, flowers bracteates.Parts used : Seed, StrawReligious virtue: Rice is indispensable item in Apong preparation. Straw is burnt and used in 'Chhai Mod' (Ash liquor). The colour of commonly used Apong is white but the colour of 'Chhai Mod' is smoky in colour. Chhai Mod is prepared only in the special occasion or any religious festivals. Important guests are entertained by offering 'Chhai Mod'. The straws are also used to filter the Apong.Medicinal use: Rice-wash water (water used to wash rice before cooking) is used in diarrhea and dysenteryLocal status: AvailablePhragmites karka (Retz.) Trin.ex Steud. (Poaceae)Vernacular names.: Eng: Wild reed; Mis:Piro; Ass: Nal Khagari; Nep:Narkat; Ben: Khagra DCH 5066Description: Perennial, stem cylindrical, 2-3 meter high, leaves alternate, lanceolate.Parts used: whole plant, rootReligious virtue: The plant is mostly used by the Mising community in religious festivals like Dobur Uie and Ali Ai Ligang. In Dobur Uie four 'Piro' plants are transplanted at the four corners of the Dobur Uie altar' Mising regard this plant as the most sacred plant.Medicinal use: Roots are cooling, diuretic and very useful in Diabetes.Local status: RarePsidium guajava L. (Myrtaceae)Vernacular names: Eng: Guava tree; San: perala, Perukah; Hin: Amrud; Ben:Peyara; Ass: Madhuriam; Nep: Ambak; Man:Pungdol. DCH 6010Description: A small tree; leaves simple, opposite, elliptic-oblong, glabrous above; flowers white, fragrant, in axillary cymes.Parts used: Tender leaves.Religious virtue: It is very commonly used by the Mising in Apong preparation.Medicinal use: Tender leaves are used in Amoebic dysenteryLocal status: AvailablePueraria tuberose (Roxb.ex Willd.)DC (Papilionaceae)Vernacular names: Eng: Indian Kudzu; San: Vidari, Bhumi Kusmandah; Ass: Bhuin Komora; DCH 6455Description: A large, herbaceous twiner with very large tuberous roots; leaves 3 foliolate, leaflets broadly ovate; flowers blue or purplish blue, in raceme; fruits membranous, flat, jointed clothed with long, silky, bristly brown hairs.Parts used: Tuberous roots.Religious virtue: Tuberous roots are used in Apong preparationMedicinal use: Tubers are used for fever.Local status: Very rareSarcochlamys pulcherrima (Roxb.) Gaud. (Urticaceae)Vernacular names. Eng. Duggal fibre tree; Mis :Ombe; Ass: Mesaki DCH 5101Description:A small evergreen branched tree or large shrub upto a height 5 meter, Stem brownish, rough and warty, leaves in dense clusters at the apex of the branches, 12-20 cm long, dorsal surface shining green and ventral surface white.Parts used: LeavesReligious virtue: Mising people consider the plant as sacred plant. They make special food item from the tender leaves of the plant in any religious festivals, given in 'Ajeng Dues'.Medicinal use: Leaves are useful for diarrhea and dysentery, they are carminative and digestive.Local status: RareScoparia dulcis L. (Scrophulariaceae)Vernacular names: Eng: Sweet broomweed; Ass : Seni bon; Man : Maipuipin.DCH 6135Description: A much branched, herbaceous plant of about 70 cm height; leaves opposite, lanceolate, dentate, flower four lobed, white with staminal hair, fruit a dentate margined small globular capsule with free central placentation.Parts used : Leaves.Religious virtue: Leaves are used in Apong preparationMedicinal use: Leaves are used for fever, cough and diabetes.Local status: AvailableSpilanthes paniculata Wall.ex DC (Asteraceae)Vernacular names. Eng: Brazil cress, Toothache plant; Mis: Marsang; Ass: Jati malkathi DCH 5045Description: Herb upto 40 cm. in heght; leaves opposite, dentate, petiolate, elliptic-lanceolate; flowers in capitulum, yellow.Parts used: Whole plant, flowerReligious virtue: The plant is very popular among the Mising community; special food item is prepared from this plant in religious festival. The poor people offered this plant along with the 'Ajeng Dues' in Dobur UieMedicinal use: The inflorescence relives toothache, bronchial trouble and ulcers inside the mouth, it has strong local anaesthetization and also used for dysentery.Local status: AvailableThelypteris angustifolia (Willd.)Proctor (Thelypteridaceae)Vernacular names: Mis: Ruktak; Nep: Koche DCH 5111Description:Terrestral fern, Fronds large, pinnate, sessile, found in marshy place.Parts used: Whole plant, rhizomeReligious virtue: The entire plant is placed ine corneer of the altar. The tip of the plant and tip of the leaves of 'Piro' are tied together near the altar of the Dobur UieMedicinal use: Juice of the rhizome about four teaspoons three times a day given for indigestion or any stomach problem.Local status: RareZanthoxylum nitidum (Roxb.) DC (Rutaceae)Vernacular names: Eng: Toothache tree; San:Tumburuh; Hin: Tezbal; Ass: Tezmooi DCH 6020Description: A large, scandent, ever green shrub with prickles, shrubs or woody climbers, leaves compound, flowers yellow, fruits reddish, subglobose.Parts used: Leaf, stem barkReligious virtue: Leaves are used in Apong preparationMedicinal use: Stem bark is used for toothache or any gum problem, it is carminative and stomachic.Local status: Very rarePueraria tuberose, Zanthoxylum nitidum, Naravelia zeylanica, Gomphostemma parviflora, Asparagus racemosus, Kaempferia rotunda are not found easily in those areas where the research work has been carried out. Previously these plants were said to be found abundant but now they are in 'very rare' condition. In this way they categorized the plants in different status. They can easily identify the plants which are locally threatened or abundant, rare or very rare depending on the availability of the plants and accordingly they take special care to conserve such threatened species in their garden. So there is an urgent need of conservation of their rich traditional knowledge before their extinction. The old village heads or elderly persons of the research areas were interviewed. They expressed about their constrains for leaking out the information about the medicinal plants at the beginning but later on we somehow could motivate them and collected few information. They strongly believe that if they leak the information the efficacy of the drugs will be lost. If this trend continues their rich traditional knowledge will be lost along with their death. So the need of conservation of their knowledge is very essential. The status which they mentioned may not be applicable in other places. It is strictly confined to their areas only and therefore the word 'Local status' is mentioned. They collected many important plants from the forest and transplanted in the gardens. The authors personally visited some of their gardens and found some important plants like Pueraria tuberose, Zanthoxylum nitidum, Naravelia zeylanica, Gomphostemma parviflora, Asparagus racemosus, Kaempferia rotunda etc.Mising people have a rich tradition of religion and medicinal practices. They collect the plants from wild state and conserve them around their residences. They have good knowledge about the status of the plants. This knowledge has been acquired by their long experiences. They have been using the plants for different purposes since time immemorial. So they have good knowledge about the use and availability of the plants. Here the 'availability' means the 'status'of the plants. Some plants like Zanthoxylum nitidum, Asparagus racemosus, Sarcochlamys pulcherrima, Pueraria tuberose, Phragmites karka, Naravelia zeylanica, Gomphostemma parviflora, Ficus racemosa, Dillenia indica, Clerodendrum colebrookianum, Cinnamomum tamala, Acorus calamus, Alpinia malaccensis, Alpinia allughas have been domesticated. They sometimes sell the vegetable parts in the local market for their livelihood. These benefits coming out from the market will typically go to improving living standards of their families. This makes a clear link between conservation and development. Communities can contribute to biodiversityby collecting and propagating indigenous seeds, planting and tending both indigenous and plantation trees in their forests and their private farms and policing against illegal harvesting of animals and tree products. These plants seem to be threatened to get eliminated in their natural habitats due to the over exploitation. Because other tribal communities also collect the plants from the same source. So the domestication of these plants is a need for conservation. Keeping this in view the plants used in Dobur Uie, Apong preparation or vegetables are locally categorized in three divisions rare, very rare and available. Eight rare plants and six very rare plants have been identified to be used in Dobur Uie celebration. Very rare plants like Zanthoxylum nitidum, Pueraria tuberose, Naravelia zeylanica, Gomphostemma parviflora, Asparagus racemosus, Kaempferia rotunda and need urgent conservation for their sustainable use. The plants locally found and used in Dobur Uie in rare status are Thelypteris angustifolia, Sarcochlamys pulcherrima, Phragmites karka, Microsorum punctatum, Cinnamomum tamala, Alpinia allughas, Alpinia malaccensis and Acorus calamus. For different ritual purposes these religious plants are frequently used by the Mising people so the Mising people are trying their best to protect the plants in situ or ex situ condition from elimination. The rest 16 plants though are found locally available but due to lack of awareness of the people for sustainable use of the plants many such plants like Spilanthes paniculata, Clerodendrum colebrookianum, Dillenia indica, Centella asiatica though are found in available status but due to unsustainable use and over exploitation the number of these plants is decreasing gradually and therefore they need an urgent protection. As the Mising culture and plants have inseparable linkage so to protect the rich Mising culture the plants need to be conserved.In the Dobur Uie day the Mising people will take wild vegetables with their meal. In the previous day of the ritual the Mising women go to the forest for collecting wild vegetables for the next day. 20-30 varieties of wild vegetables were collected in the earlier time but this number comes down to 10-15 at present. On the other hand the alarming decrease of Apong plants from 50 to 10-15 is becoming a serious concern. As stated by the informants many plants got eliminated from the locality may be due to wanton felling of the trees or may be indiscriminate collection of the plants. Moreover other tribal people except the Mising also use the same plants for Apong preparation resulting over exploitation of these plants. The informants stated that if this trend of decreasing the number of plants used in different ritual practices continues then the situation of cultural threat may arise one day or other. This situation is found in all Mising populated areas undertaken for this study. In this paper altogether 30 plants under 23 families were discussed. Plants used for wild vegetables, Apong preparation and for Dobur Uie celebration are found in wild state and many of them like The strong motive behind observing Dobur Uie is the sense of fear or reverence shown by the Mising people towards god or deities. Be it a patch, a single or cluster of sacred trees a lot of conservation concern has been imbibed into the Mising communities. Irrespective of the motivating force behind conferring the sacred or religious status to a plant, it may be said that this process saves the plants from wanton felling. Through this project an attempt has also been made to make them aware of the status and sustainable use of the plants.A number of folk medicinal claims used by Mising people in Dobur Uie are reported in this communication. Among these, some interesting and new claims relate to the treatment of different ailments of human beings such as diarrhea, dysentery, malaria, indigestion, gastroenteritis, high blood pressure, intestinal worms etc. About 34 diseases have been described for the treatment of different ailments. Diarrhoea, dysentery, indigestion, flatulence, stomach problems, liver problems are found very common among the diseases. Information on the effectiveness to cure the ailments by using these species is based on continuous use by succeeding generations of Mising people. However these claims need to be further tested using standard scientific methodologies. Local names are given in different regional languages for the easy identification of the species.Gomphostemma parviflora, Clerodendrum colebrookianum, Ficus racemosa, Sarcochlamys pulcherrima etc. in their gardens for consumption and sale. These plants can help overcome the deficiency of nutritional constituents, especially in rural areas. It is important to promote consciousness about the food habits and accept wild food plants like the cultivated ones. Thus they become conscious about conserving their surrounding plant resources. Though the use of plants in Dobur Uie varies from place to place but some plants like Alpinia allughas, Alpinia malaccensis, Imperata cylindrica, Thelypteris angustifolia, Phragmites karka are found common to all places. We suggest that the traditional knowledge of the Mising people could provide useful information in finding new drugs that contribute to human welfare. So the most urgent need is to rescue and record the traditional knowledge on plants in the form of digitized database before its extinction.In the present study 30 plants belonging to 23 families have been identified as medicinal plants used by the Mising people of Assam in Dobur Uie ritual. These plants are used in the treatment of some very common ailments like diarrhea, dysentery, indigestion, flatulence, stomach problems, liver problems etc. All these diseases are water born and this can be explained that the water taken from ponds or from other free sources in rural areas are not hygienic and so the children are easily infected by these diseases. The Mising people believe that all big trees are abodes of gods and deities and therefore they are sacred and should not be harmed, they try to save these plants by all means This perception of nature plays a positive role on the protection of the vegetation around their dwelling places. That is why many scholars advocate that people living in modern society learn from the minority people to respect the environment rather than depredating it ,14,20,21Permission was granted by the Mising people shown in figures The authors declare that they have no competing interests.US conducted field survey, interviews with the healers, village heads, head of the religious institutions, elderly men and women. Herbarium specimens were identified and finalized with SP. SP helped to take the photographs and to collect and analyze data. Both the authors examined the manuscripts minutely and approved as final manuscript"}
+{"text": "There were errors in the Author Contributions. The correct contributions are: Conceived and designed the study: ST. Performed the study and contributed reagents/materials/analysis tools: ST MB GB. Analyzed the data: ST. Wrote the paper: ST GB."}
+{"text": "The scope of our understanding of the evolutionary history between viruses and animals is limited. The fact that the recent availability of many complete insect virus genomes and vertebrate genomes as well as the ability to screen these sequences makes it possible to gain a new perspective insight into the evolutionary interaction between insect viruses and vertebrates. This study is to determine the possibility of existence of sequence identity between the genomes of insect viruses and vertebrates, attempt to explain this phenomenon in term of genetic mobile element, and try to investigate the evolutionary relationship between these short regions of identity among these species.Some of studied insect viruses contain variable numbers of short regions of sequence identity to the genomes of vertebrate with nucleotide sequence length from 28 bp to 124 bp. They are found to locate in multiple sites of the vertebrate genomes. The ontology of animal genes with identical regions involves in several processes including chromatin remodeling, regulation of apoptosis, signaling pathway, nerve system development and some enzyme-like catalysis. Phylogenetic analysis reveals that at least some short regions of sequence identity in the genomes of vertebrate are derived the ancestral of insect viruses.Short regions of sequence identity were found in the vertebrates and insect viruses. These sequences played an important role not only in the long-term evolution of vertebrates, but also in promotion of insect virus. This typical win-win strategy may come from natural selection. The interaction between viruses and animals is quite profound and complex. Precious studies have deeply increased the depth of our understanding of their long-term evolutionary history in terms of genome sequence. Viruses have a highly host-associated life circle. As a result, they infect and occasionally integrate into the germ line cells chromosome and are inherited vertically as host alleles ,2. A groHowever, most of these discoveries were merely addressed in an aspect of virus-host interaction and may narrow our prospective to probe the links between viruses and animals.Here in a broad sense, we aimed at to identify the possible regions identity between the genomes of vertebrates and non-retroviral families of insect viruses and the possible role(s) of the identical sequences in evolution of the corresponding animal(s). Moreover, we reported phylogenetic analysis of these identical sequences. In this paper, we showed that at least some of the sequences identity in vertebrates chromosomes identified here are likely to come from insect viruses and exapted during their long-term evolution.NW_002197778.1] with respective E-values 4e-23 and 1e-14.We screened several hundreds of insect viruses including DNA viruses and RNA viruses against 21 vertebrates. Of interest, dozens of short regions of sequence identity were found between animals and viruses including double stranded DNA viruses and double stranded RNA viruses of the regions identity as described in Methods.Figure Table A screen of vertebrate genomes has unexpectedly exhumed short regions of sequence identity to insect viruses leading us to speculate about the evolutionary relationship among these sequences. And then phyogenetic comparisons of these sequences identity were performed as described in Methods.Significant blast hits to Adoxophyes orana NPV were sequences from species including mammalian, virus, fungi and bacteria Figure . SequencSequences matching Choristoneura occidentalis granulovirus were all identified in insects Figure . In phylWe identified high-level significant matches to Culex nigripalpus baculovirus in the genomes of plant, mammalian, insect Figure . PhylogeSignificant matches to Cydia pomonella granulovirus are short regions identified in a broad range of lineage genomes including chordate, fungi, insects, vertebrates, protozoa and plant Figure . CuriousMatches to Leucania separata were sequences from different species ranging from fungi, mammalians, bacteria and protozoa as well as insects Figure . InteresIn order to broaden the scope of people's understanding of the interaction between virus and animals, We searched genomes of 21 currently available vertebrates for sequences identity to that of insect viruses with expectation that possible sequences identity may exist, and unearthed lush short regions of sequence identity in diverse animals. The chance matches of the search were ruled out by performing reciprocal BLAST. With sequence length from 28 to 124 bp, most of them are non-functional, however, with exceptional occasions, some are within exon.The mechanism that nucleotide sequences flowed from ancestral insect viruses to vertebrates is still unclear. A possible explanation for the phenomenon is due to genetic mobile element such as virus and phage as well as plasmid. Earlier study shows that viruses move between different biomes and the total number of viruses largely exceeds the number of cells . In our The fate of most acquired nucleotide sequences in the chromosomes of animals has been to undergo deletion due to homologous recombination , howeverNo discussion of short regions of sequence identity would be complete without mention pseudo-genes. Pseudo-gene which is known for non-functional, gene-like sequences due to a high mutation rate is harbored by mammalian genomes . LackingWe have investigated the evolutionary radiation of some of the identified short regions of insect viruses and demonstrated a broad history of interaction between insect viruses and vertebrates. It is interesting to speculate that short regions of identity occurred across a brand species. According to our data, at least some short regions of identity identified in vertebrates are derived from insect viruses. And the initial gene flow from Cydia pomonella to the ancestor of the Mus musculus at least post dated the divergence of Mus musculus and Rattus norvegicus about 10 million years ago. However, due to the limited samples, it is hard for us to know whether some sequences identity of the insect viruses and that of vertebrates shared the same ancestral lineage or not. Since the evolution of some viral sequences is more rapid than that of animals, it may mask any two nucleotide sequences which actually derived from the same ancestor .Our study established that the genetic material derived from insect viruses can flow to vertebrates and play a significant evolutionary role for the development of vertebrates and the survival of the viruses. This win-win strategy may be the result of natural selection.The genomes of non-retroviral families of insect viruses were screened against chromosome assemblies and whole genome shotgun assemblies of 21 vertebrate species in silico approach using BLASTn with the resources of NCBI. Insect viruses sequences with a high-level identity of matches to vertebrates nucleotide sequences were acquired. Then the acquired animal sequences were used as queries to screen the GenBank non-redundant (nr) database in a reciprocal BLASTn search. Significant matches to retroviruses and non-insect viruses were discarded, while the remaining matches were considered as regions of identity to non-retroviral families of insect viruses.Regions of identity were located in corresponding genome shotgun assemblies of vertebrates precisely. If pseudo-genes were found near regions of identity (i.e. 2000 kb within their 5' and/or 3' ends) distance was calculated between the nearby pseudo- genes and 5'site and/or 3's site of regions of identity.For understanding the distribution and possible origin of sequences identity, BLASTn was run with virus sequences as queries to screen the GenBank non-redundant (nr) database. Significant hits with over 95% identity and blast E-values of 10-7 or lower were identified as regions of sequence identity. And representative sequences were extracted. These nucleotide sequences were aligned using ClustalX program Mammals: Primates (= 5): Callithrix jacchus (white-tufted-ear marmoset); Homo sapiens (human); Macaca mulatta (rhesus macaque); Pan troglodytes (chimpanzee); Pongo abelii (Sumatran orangutan); Rodents (= 2): Mus musculus (laboratory mouse); Rattus norrvegicus (rat)Monotremes (= 1): Ornithorhynchus anatinus (duck-billed platypus) Marsupials (= 1):Monodelphis domestica (opossum) Other Mammals (= 8): Ailuropoda melanoleuca (giant panda); Bos taurus (cattle); Canis lupus familiaris (dog); Equus caballus (horse); Felis catus (cat); Oryctolagus cunniculus (rabbit); Ovis aries (sheep); Sus scrofa (pig) Other Vertebrates (= 4): Danio rerio (zebrafish); Gallus gallus (chicken); Taeniopygia guttata (zebra finch); Xenopus tropicalis (Silurana) (western clawed frog)NC_005137]; Agrotis segetum granulovirus [GenBank:NC_005839]; Helicoverpa armigera NPV G4 [GenBank:NC_002654]; Orgyia pseudotsugata MNPV [GenBank:NC_001875]; Mamestra configurata NPV-A [GenBank:NC_003529]; Cydia pomonella granulovirus [GenBank:NC_002816]; Spodoptera exigua MNPV [GenBank:NC_002169]; Bombyx mori NPV [GenBank:NC_001962]; Bombyx mandarina NPV [GenBank:NC_012672]; Spodoptera frugiperda MNPV virus [GenBank:NC_009011]; Lymantria xylina MNPV [GenBank:NC_013953]; Mamestra configurata NPV-B [GenBank:NC_004117]; Lymantria dispar MNPV[GenBank:NC_001973]; Epiphyas postvittana NPV[GenBank:NC_003083]; Xestia c-nigrum granulovirus [GenBank:NC_002331]; Autographa californica NPV [GenBank:NC_001623]; Helicoverpa armigera NPV NNg1[GenBank:NC_011354]; Pieris rapae granulovirus[GenBank:NC_013797]; Pseudaletia unipuncta granulovirus [GenBank:NC_013772]; Agrotis segetum NPV [GenBank:NC_007921]; Spodoptera litura granulovirus[GenBank:NC_009503]; Chrysodeixis chalcites NPV [GenBank:NC_007151]; Neodiprion abietis NPV [GenBank:NC_008252]; Neodiprion lecontii NPV[GenBank:NC_005906]; Cryptophlebia leucotreta granulovirus [GenBank:NC_005068]; Adoxophyes orana granulovirus[GenBank:NC_005038]; Helicoverpa armigera NPV [GenBank:NC_003094]; Rachiplusia ou MNPV[GenBank:NC_004323]; Phthorimaea operculella granulovirus [GenBank:NC_004062]; Spodoptera litura NPV [GenBank:NC_003102]; Culex nigripalpus NPV [GenBank:NC_003084]; Plutella xylostella granulovirus [GenBank:NC_002593]; Heliothis zea virus 1 [GenBank:NC_004156]; Clanis bilineata NPV [GenBank:NC_008293]; Neodiprion sertifer NPV [GenBank:NC_005905]; Trichoplusia ni SNPV [GenBank:NC_007383]; Choristoneura fumiferana MNPV [GenBank:NC_004778]; Helicoverpa zea SNPV [GenBank:NC_003349]; Euproctis pseudoconspersa NPV [GenBank:NC_012639]; Agrotis ipsilon multiple NPV [GenBank:NC_011345]; Orgyia leucostigma NPV [GenBank:NC_010276]; Helicoverpa armigera granulovirus [GenBank:NC_010240]; Ecotropis obliqua NPV [GenBank:NC_008586]; Anticarsia gemmatalis NPV [GenBank:NC_008520]; Choristoneura occidentalis granulovirus [GenBank:NC_008168]; Adoxophyes honmai NPV [GenBank:NC_004690]; Hyphantria cunea NPV [GenBank:NC_007767]; Antheraea pernyi NPV [GenBank:NC_008035]; Spodoptera litura nucleopolyhedrovirus II [GenBank:NC_011616]; Helicoverpa armigera multiple NPV [GenBank:NC_011615]; Adoxophyes orana NPV [GenBank:NC_011423]; Maruca vitrata MNPV [GenBank:NC_008725]; Plutella xylostella multiple NPV [GenBank:NC_008349]; Leucania separata nuclear polyhedrosis virus [GenBank:NC_008348]Baculoviridae: Choristoneura fumiferana DEF MNPV [GenBank:NC_002520]; Melanoplus sanguinipes entomopoxvirus [GenBank:NC_001993] Ascoviridae: Spodoptera frugiperda ascovirus 1a [GenBank:NC_008361]; Diadromus pulchellus ascovirus 4a [GenBank:NC_011335]; Heliothis virescens ascovirus 3e [GenBank:NC_009233]; Trichoplusia ni ascovirus 2c [GenBank:NC_008518] Polydnaviridae: Hyposoter fugitivus ichnovirus ; Microplitis demolitor bracovirus ; Cotesia congregata virus ; Cotesia congregata bracovirus ; Campoletis sonorensis ichnovirus [GenBank:NC_007985~ NC_008008]; Glypta fumiferanae ichnovirus ; Campoletis sonorensis ichnovirus Reoviridae: Southern rice black-streaked dwarf virus [GenBank:NC_014708~ NC_014717]; Great Island virus [GenBank:NC_014522~ NC_014531]; Stretch Lagoon orbivirus ; Raspberry latent virus[GenBank: NC_014598~ NC_014607 ]; African horsesickness virus ; Epizootic hemorrhagic disease virus [GenBank:NC_013396~ NC_013405]; Kadipiro virus ; Fiji disease virus [GenBank:NC_007154~ NC_007163]; St Croix River virus [GenBank:NC_005997~ NC_005998]; Operophtera brumata reovirus segment 1 [GenBank:NC_007559]; Mal de Rio Cuarto virus[GenBank:NC_008728~ NC_008737]; Eyach virus [GenBank:NC_003696~ NC_003707]; Aedes pseudoscutellaris reovirus [GenBank:NC_007666~ NC_007674]; Heliothis armigera cypovirus [GenBank:NC_010661~ NC_010670]; Yunnan orbivirus [GenBank:NC_007656~ NC_007665]; Rice ragged stunt virus ; Nilaparvata lugens reovirus [GenBank:NC_003652~ NC_003661]; Trichoplusia ni cytoplasmic polyhedrosis virus ; Homalodisca vitripennis reovirus [GenBank:NC_012535~ NC_012546]; Rice gall dwarf virus [GenBank:NC_009241~ NC_009252]; Banna virus ; Rice dwarf virus ; Rice black streaked dwarf virus [GenBank:NC_003728~ NC_003737 ]; Lymantria dispar cypovirus1[GenBank:NC_003016~ NC_003025]; Cypovirus 14 [GenBank: NC_003006~ NC_003015] Birnaviridae: Drosophila x virus Dicistroviridae: Black queen cell virus [GenBank:NC_003784]; Triatoma virus [GenBank:NC_003783]; Drosophila C virus [GenBank:NC_001834]; Kashmir bee virus [GenBank:NC_004807]; Aphid lethal paralysis virus [GenBank:NC_004365]; Cricket paralysis virus [GenBank:NC_003924]; Rhopalosiphum padi virus [GenBank:NC_001874]; Israel acute paralysis virus of bees [GenBank:NC_009025]; Himetobi P virus [GenBank:NC_003782]; Acute bee paralysis virus [GenBank:NC_002548]; Plautia stali intestine virus [GenBank:NC_003779]; Solenopsis invicta virus 1 [GenBank:NC_006559]; Homalodisca coagulata virus-1 [GenBank:NC_008029] Tetraviridae: Euprosterna elaeasa virus [GenBank:NC_003412]; Boolarra virus ; Pariacato virus chromosome [GenBank:NC_003691~ NC_003692]; Nodamura virus [GenBank:NC_002690~ NC_002691]; Black beetle ; Macrobrachium rosenbergii nodavirus RNA-2 [GenBank:NC_005095]; Flock house virus [GenBank: NC_004146~ NC_004144 ]Entomopoxvirinae: Amsacta moorei entomopoxvirus 'L' [GenBank:ChchNPV: Chrysodeixis chalcites NPV; SfMNPV: Spodoptera frugiperda MNPV; SeMNPV: Spodoptera exigua MNPV; MaviMNPV: Maruca vitrata MNPV; AdorGV: Adoxophyes orana NPV; GflV: Glypta fumiferanae ichnovirus; TnAV-2c: Trichoplusia ni ascovirus 2c; MdBV: Microplitis demolitor bracovirus; HfIV: Hyposoter fugitivus ichnovirus; CcBV: Cotesia congregata bracovirus; CuniNPV: Culex nigripalpus NPV; ChocGV: Choristoneura occidentalis granulovirus; CpGV: Cydia pomonella granulovirus; EcobNPV: Ecotropis obliqua NPV; LsNPV: Leucania separata NPV; PoGV: Phthorimaea operculella granulovirus; CsIV: Campoletis sonorensis ichnovirus; NLRV: Nilaparvata lugens reovirus; FDV: Fiji disease virus; RBSDV: Southern rice black-streaked dwarf virusThe authors declare that they have no competing interests.Conceived the experiment: JL, Designed the experiment: GF; Performed the experiment: GF; Analyzed the data: GF; Wrote the paper: GF; Revised the paper: JL; gave the final approval of the version to be published: JL. Both authors read and approved the final manuscript."}
+{"text": "During cellulosic ethanol production, cellulose hydrolysis is achieved by synergistic action of cellulase enzyme complex consisting of multiple enzymes with different mode of actions. Enzymatic hydrolysis of cellulose is one of the bottlenecks in the commercialization of the process due to low hydrolysis rates and high cost of enzymes. A robust hydrolysis model that can predict hydrolysis profile under various scenarios can act as an important forecasting tool to improve the hydrolysis process. However, multiple factors affecting hydrolysis: cellulose structure and complex enzyme-substrate interactions during hydrolysis make it diffucult to develop mathematical kinetic models that can simulate hydrolysis in presence of multiple enzymes with high fidelity. In this study, a comprehensive hydrolysis model based on stochastic molecular modeling approch in which each hydrolysis event is translated into a discrete event is presented. The model captures the structural features of cellulose, enzyme properties , and most importantly dynamic morphological changes in the substrate that directly affect the enzyme-substrate interactions during hydrolysis.Cellulose was modeled as a group of microfibrils consisting of elementary fibrils bundles, where each elementary fibril was represented as a three dimensional matrix of glucose molecules. Hydrolysis of cellulose was simulated based on Monte Carlo simulation technique. Cellulose hydrolysis results predicted by model simulations agree well with the experimental data from literature. Coefficients of determination for model predictions and experimental values were in the range of 0.75 to 0.96 for Avicel hydrolysis by CBH I action. Model was able to simulate the synergistic action of multiple enzymes during hydrolysis. The model simulations captured the important experimental observations: effect of structural properties, enzyme inhibition and enzyme loadings on the hydrolysis and degree of synergism among enzymes.The model was effective in capturing the dynamic behavior of cellulose hydrolysis during action of individual as well as multiple cellulases. Simulations were in qualitative and quantitative agreement with experimental data. Several experimentally observed phenomena were simulated without the need for any additional assumptions or parameter changes and confirmed the validity of using the stochastic molecular modeling approach to quantitatively and qualitatively describe the cellulose hydrolysis. Lignocellulosic biomass is a complex matrix of three biopolymers: cellulose (20-50%), hemicellulose 15-35%) and lignin (5-30%) 5-35% and-6, folloHydrolysis of cellulose and hemicellulose into sugar monomers is a critical step in the biochemical conversion of cellulose into ethanol. Cellulose is the most abundant biopolymer on earth with about 100 billion tons produced by terrestrial plants every year . Trichoderma reesei (earlier known as T. viride), comprising endoglucanases EGI, two exoglucanases CBHI and CBHII and \u03b2-glucosidase. Cellulase system of T. reesei, a soft-rot fungi, has been extensively studied [T. reesei were assumed as 0.4, 0.8, and 1.6\u00a0IU/mg of EG I, CBH I and CBH II respectively [All model simulations were performed for four main classes of cellulase enzymes: Non-processive endoglucanases with CBM, processive CBH I with CBM and processive CBH II with CBM and \u03b2-glucosidase. These enzymes are similar to enzyme system of studied ,3,18,20.ectively . Zhang aectively calculatectively -68.Data from model simulations were compared with two sets of experimental results from literature to validate the model.T. reesei, provided by Novo Nordisk A/S, Denmark), at various enzyme: substrate loadings at 40\u00a0\u00b0C in 50\u00a0mM citrate buffer (pH\u00a04.8) for 47\u00a0h.Experimental details for the experimental data are detailed in Bezerra et al. -47. BrieT. reesei . For model simulations, activity of EG II enzymes used in experiments were assumed to be same as EG I enzyme (0.4\u00a0IU/mg protein).For model validation, cellulose conversion results were extracted from Figure\u00a0th\u2019 enzyme; BC: Bacterial cellulose; BG: \u03b2-glucosidase; C: Cellulose fraction of the solid; CBH: Cellobiohydrolases; CBM: Carbohydrate binding module; CBP: Consolidated bioprocessing; CD: Catalytic domain; CGlu: Concentration of glucose (g/L); CG2: Concentration of cellobiose (g/L); CG6+: Concentration of high DP molecules (g/L); CrI: Crystallinity index; DP: Degree of polymerization; DS: Degree of synergism; EF: Elementary fibril; EG: Endoglucanses; Ei: Amount of 'ith' enzyme used per unit of cellulose during hydrolysis (mg/g cellulose); fj: Fraction of hydrolysable bonds for 'jth' microfibril; Gactual: Number of glucose molecules in actual sample; Gsim: Number of glucose molecules simulated in the model; IU: International unit of enzyme activity; MF: Microfibrils; n: Number of microfibrils simulated; Nhij: Number of maximum bonds broken by ith enzyme on jth microfibril; Nhi_max: Maximum number bonds broken by an enzyme per minute; Ninhib: Increment in counter due to inhibition; Ninhib _G2: Increment in counter due to cellobiose encounter/inhibition; Ninhib _G: Increment in counter due to glucose encounter/inhibition; Nnb: Increment in counter when no binding occurs; Nnp: Increment in counter in case of non-productive binding; NNRj: Number of non-reducing end in jth microfibril; NRj: Number of reducing ends in jth microfibril; Nsj: Number of glucose molecules on the surface of elementary fibrils in jth microfibril; NSLj: Number of soluble oligomers produced from jth microfibril; ODE: Ordinary differential equations; R2: Square of the Pearson product\u2013moment correlation coefficient; S: Fraction of solids in the solution; Si: Stability of 'ith' enzyme under current hydrolysis conditions; SMM: Stochastic molecular modeling; T. reesei: Trichoderma reesei; Ui: Activity of 'ith' enzyme (IU/mg enzyme); Vactual: Volume of solution (mL); Wsample: Weight of total solution during hydrolysis (g)\u2206Cmixed: Cellulose conversion by action of mixture of \u2018n\u2019 enzymes; \u2206Ci: Cellulose conversion by individual action of \u2018iThe authors declare that they have no competing interests.DK developed the model, carried out the process simulations and wrote the paper. GM conceived and designed the study, helped in the development of the model, and reviewed the results and manuscript. All authors read and approved the final manuscript.1Graduate Student, Biological and Ecological Engineering, 116 Gilmore Hall, Oregon State University, Corvallis, OR-97331. 2Assistant Professor, Biological and Ecological Engineering, 116 Gilmore Hall, Oregon State University, Corvallis, OR-97331.This file includes seven sections (A1 \u2013 A7) as follow: Section A1: Parameters associated with glucose molecules in the model. This section illustrates the properties associated with glucose molecules in the model. Section A2: Binding and action of endoglucanase and cellobiohydrolase enzymes. This section explains the action pattern of cellulase enzymes on cellulose. Section A3: Values of parameters used for EG I, CBH I and CBH II action. This section provides the values of parameters (such as increment on productive or non-productive binding) used in model simulations. Section A4: Calculations of concentrations of soluble and insoluble sugars. Equations used to calculate concentration of soluble and insoluble sugars during hydrolysis are presented in this section. Section A5: Cellobiose production during hydrolysis of Avicel by CBH I action. This section presents the data from model simulation from hydrolysis of Avicel at various enzyme:substrate ratios. Simulations were performed three times at each condition and standard deviations are provided in the table. Section A6: Endoglucanases action on substrates with different crystallinity. This section illustrates effect of crystallinity on the hydrolysis profile of cellulose by endoglucanases action. Section A7: Effect of enzyme loading on the hydrolysis rate of cellulose. This section presents the data from model simulation from hydrolysis of Avicel at various enzyme loadings .Click here for file"}
+{"text": "There were multiple errors in the Author Contributions statement. The Author Contributions statement should read: \"Conceived and designed the experiments: RKL. Performed the experiments: JMP AMT. Analyzed the data: JMP AMT HJHC ASU. Wrote the paper: RKL.\""}
+{"text": "The terms \"PKA\" and \"EPAC\" are not appropriately capitalized in the article title. The correct title is: \"Opposing Roles of PKA and EPAC in the cAMP-Dependent Regulation of Schwann Cell Proliferation and Differentiation.\" The correct Citation is: Bacallao K, Monje PV (2013) Opposing Roles of pka and epac in the cAMP-Dependent Regulation of Schwann Cell Proliferation and Differentiation. PLoS ONE 8(12): e82354. doi:10.1371/journal.pone.0082354."}
+{"text": "The fourth author was incorrectly omitted from the list of those authors who wrote the paper in the Contributions Statement. The Author Contributions section should read: \u201cConceived and designed the experiments: EG LHS WLG. Performed the experiments: LHS WLG. Analyzed the data: GCS. Contributed reagents/materials/analysis tools: EG. Wrote the paper: GCS EG.\""}
+{"text": "There was an error in the name of the second author.The correct name of this author is: Michael G. FriskThe correct citation is: Karimi R, Frisk MG, Fisher NS (2013) Contrasting Food Web Factor and Body Size Relationships with Hg and Se Concentrations in Marine Biota. PLoS ONE 8(9): e74695. doi:10.1371/journal.pone.0074695The correct version of the Author Contributions section is: Conceived and designed the experiments: RK MGF NSF. Performed the experiments: RK. Analyzed the data: RK MGF. Contributed reagents/materials/analysis tools: MGF NSF. Wrote the paper: RK MGF NSF."}
+{"text": "There was an error in the Author Contributions. The correct version of this section is available below.Conceived and designed the experiments: BSC MS AJ AG TJ PGK CW. Performed the experiments: BSC MS AJ CRB AG. Analyzed the data: BSC MS AJ AG TJ PGK CW. Wrote the paper: BSC CRB TJ MS PGK CW."}
+{"text": "In Figure 1B, the figures for girls and boys in the primary analysis should be reversed. Please see the corrected version of Figure 1B here: There were multiple errors in the author contributions. The updated author contributions are as follows:Conceived and designed the experiments: AE PBo DE VM CF RL PBh.Performed the experiments: RL PBh. Analyzed the data: VM CF PBo AE DE. Contributed reagents/materials/analysis tools: RL AE PBh DE CF PBo VM. Wrote the paper: RL AE DE CF PBo VM PBh."}
+{"text": "There was an error in the Author Contributions section. The second contributions category should read: \"Performed the experiments: GC MG MZ; GC and MG contributed equally to this work.\""}
+{"text": "To the Editor: The recent publication by Habibzadeh and Shashok discussed the importance of direct verbatim textual plagiarism (agiarism . Indeed,agiarism . However"}
+{"text": "CMLLite is a collection of definitions and processes which provide strong and flexible validation for a document in Chemical Markup Language (CML). It consists of an updated CML schema (schema3), conventions specifying rules in both human and machine-understandable forms and a validator available both online and offline to check conformance. This article explores the rationale behind the changes which have been made to the schema, explains how conventions interact and how they are designed, formulated, implemented and tested, and gives an overview of the validation service. There is an on-going need for formal, computable representations of scientific data and documents which are also accessible to humans -3. The cThe strengths and weaknesses of CML have been recently analysed by Dumontier and we qChemical Markup Language, backed by a controlled vocabulary, has been rather successful in specifying most aspects of chemistry, from small molecules and their connectivity to polymers and crystal structures.Unfortunately, while most elements of this specification can be parsed out using one of the many XML libraries, certain elements do not render themselves to facile interpretation. Consider the sample CML specification of a water molecule [...]. In order to identify the member atoms in a given bond, it is necessary to carry out string processing as an intermediate step. Further, while many of the elements of CML are defined in a controlled vocabulary, the lack of explicit, consistent, and formal axiomatization of the involved concepts gives rise to difficulties in inferring connections between chemical concepts where no such connections are stated explicitly, something that is possible in formal ontology-backed RDF-based information specifications. Although CML specifications have been increasingly evolving to incorporate elements of the Semantic Web, the lack of widespread adoption of the format, and the limited availability of large-scale CML-based chemical knowledge repositories, have somewhat limited CML-assisted federation of the world of chemical data. Furthermore, the implementation of coverage of additional chemical concepts in most chemical representations requires a formal, rigorous representation specification, complicating the incorporation of data represented using domain-specific representation extensions. We believe that an ideal chemical representation would require no specialized wrapper or interpreter, would be generic such as to allow for facile and conflict-free extensions, would be based on a formal ontology, and would be encoded in a machine-understandable manner and therefore facilitates automated reasoning and data integration.This article addresses these points and describes a system we have built for managing explicit and implicit semantics. It was initially developed during the Chem4Word (C4W) project thenmolecule@formalCharge: = =sum +sum ) is missing on a molecule, calculate it by recursively summing its descendants. This is more complex in practice as we have to apply semantics for atoms without formalCharge.)etc.). This article describes how their combination with unit tests and other validation procedures creates strong accessible semantics.CML has thousands of relationships like this, and they are relatively straightforward to implement through procedural code , Open BaIt is commonly believed that the (perceived) ease of use of a new technology will affect its adoption by communities . A succe\u2022 Accessibility for humans\u2022 Proven infrastructure\u2022 Authoring tools\u2022 Reading tools\u2022 Editors\u2022 Domain libraries\u2022 Critical mass of content\u2022 Agreed concepts and vocabularies\u2022 Critical mass of users.Postel's Law > 1)can be decomposed into a set of steps which define a set of elements to query over and the query itself:etc.).\u2022 ancestor::cml:molecule selects any molecule element of which the current atom is a descendent .\u2022 The count(...) > 1 expression forms the query and evaluates the number of atoms left in the set. If this is greater than 1 then multiple atoms in the same ancestor molecule have the same id.The conventions in CMLLite have built-in rules which are generally not explicitly stated in the specification of conventions:\u2022 A convention is applied through an element carrying the convention attribute. The convention applies to that element and all its descendants.\u2022 The value of the convention attribute MUST be a QName that expands to the URI identifying the convention to be applied.\u2022 A convention can require other conventions which must be explicitly specified on appropriate elements.\u2022 If no conventions are declared a warning is issued.We do not intend conventions to replace the CML schema and they are not a general schema language.mode-name\" > limits subsequent validation to templates with mode = \"mode-name\". An apply-templates call without a mode will only call those templates without a mode (i.e. not governed by a convention in the document).CMLValidator uses normal XSLT processing rules but makes special use of the mode attribute to allow validation of different conventions within the same document. < apply-templates mode = \"The current conventions contain many hundreds of validatorTest and to illustrate them we create a very simple sub-convention: simpleUnit. There is already a mature convention for units using the schema3 elements unitList and unit. simpleUnit explores a small portion of this.http://www.xml-cml.org/convention/simpleUnit namespace.1 The simpleUnit convention is specified with the 2 The simpleUnit convention MUST be specified on a cml:unitList element using the convention attribute.3 A cml:unitList element MUST contain at least one cml:unit child element.4 A cml:unitList element MAY contain other child elements from the CML namespace or from foreign namespaces.There are no constraints on where in a document the unitList element may appear.We start by creating an exhaustive set of tests against which the validator will be developed. These tests (Appendix B) are independent of the actual implementation of the validator. We can be confident that any validator that passes all these tests is likely to be useful in determining whether any of a wide range of documents is valid or invalid against the simpleUnit convention.Figure We now address the purpose of each of the templates in the validator in detail.Template 1: creates the root report:result elementTemplate 2: match = \"*|@*|text\" matches any element, attribute or text node when not in simpleUnit mode. The match expressions for the three node types are the most general possible and will therefore be overridden by any more specific matches. This template takes no action but allows recursive traversal to find elements covered by the simpleUnit conventions arbitrarily deep in the input document.Template 3: carries out the same operations as template 2 but only when in simpleUnit mode. Non-CML elements may be interspersed with CML in the text document and will not cause the validator to emit warnings.Template 4: Only elements from the cml namespace will be matched; the element MUST have a convention attribute, with namespace http://www.xml-cml.org/convention/ and the local name simpleUnit. The schema enforces that the value of the convention attribute must be a namespaceRefType.If the element matched is cml:unitList this triggers mode = \"simpleUnit\" which remains in scope for all descendants.If the element matched is not cml:unitList the validator informs the users that it is an error to specify the simpleUnit convention and apply-templates is called but not in simpleUnit mode.Template 5: matches any cml:unitList element. If this does not have at least one cml:unit child element then an error is reported. Any child nodes are then processed in simpleUnit mode.Template 6: matches any cml:unit element in simpleUnit mode. XSLT rules dictate that it has higher priority than template 7.Template 7: matches any element from the CML namespace in simpleUnit mode. The match is more specific than template 3 but less specific than templates 4, 5 and 6. This will therefore catch any CML namespaced elements other than unitList and unit. The elements matched by this template are covered by rule 4-they are allowed but they are not really part of the convention, hence the output contains information to this effect.This template is primarily for information, not errors-it is therefore appropriate to warn when CML elements might be ignored. Note that the presence of report:info elements in the report document does not mean that the input document is invalid.i.e. they do not overlap .http://www.xml-cml.org/convention/compchem has been developed as part of the Quixote project. It requires that the initialization module contains exactly one molecule and that all the atoms in this molecule MUST have three dimensional coordinates. Rather than create a new convention for molecules it was decided that these requirements were compatible with the molecular convention but required a tightening of some constraints.The compchem convention Some of the rules from the compchem convention are shown below:http://xml-cml.org/dictionary/compchem/).\u2022 There MUST be an initialization module which is a module element with a specific value of its dictRef attribute .\u2022 molecules MUST declare that they conform to the molecular convention by declaring this in the convention attribute and tests that an atomArray is present and that all the child atoms of this have 3D coordinates. Note that we do not need to check whether or not the molecule has child molecules or other atomArray children because this will be done by the molecular convention.Following the W3C validation tools and produces a ValidationReport. If input is an InputStream the program checks that it is well-formed XML (this is not necessary for a xomDoc as it is necessarily well-formed). A xomDoc is built from the InputStream and further processing is identical regardless of input format.1. It is well-formed XML. The control class can takes as input either an 2. The xomDoc conforms to the CML schema3.3. Deprecated constructs are not used. The use of deprecated constructs will give a VALID_WITH_WARNINGS result.4. Any conventions specified in the document are obeyed.5. All the prefixes used in namespaceRefTypes (effectively QNames) have been bound to namespaces and are resolvable URLs.etc. publicly available. The workflow is shown in Figure The final check has been put in place as a reminder to users that sharing information is preferable and they can only \"code to the green bar\" by makinhttp://validator.xml-cml.org/validate which returns a ValidationReport. This must then be queried by the user to determine whether the overall validation resulted in VALID, VALID_WITH_WARNINGS or INVALID. Informal feedback from users indicated that it was more useful to send the complete ValidationReport rather than just a ValidationResult as feedback as this would allow the calling tool to do more.The RESTful webservice implementation is accessed by POSTing the XML/CML document to The website is effectively an instance of a tool that uses the RESTful implementation to do the actual validation but then interprets the results and displays them in the most human-user friendly fashion. Figures conventions which can be as rigid or fluid as they wish. The conventions can be rigorously unit tested using CMLValidator.We have developed an approach to extensible semantics for Chemical Markup Language, where we assume that the current schema (schema3) is stable and expressive. There is enough software and data that this approach has been widely deployed and tested, even if it is not yet mainstream. Semantics are defined in the XSD schema, with additional natural language and validated using a unit test approach (Java and .NET). It works in the main fields of chemistry for which CML has been developed . The approach encourages sub-communities in chemistry to create The convention-based approach is intermediate between natural language and formal systems. It relies, in part, on the wider community agreeing the semantics in schema3 . Sub-communities are starting to build their extensions of which the compchem convention being developed by the Quixote project is a prime example.We believe the convention-based approach will help developers to create better software quicker. The tests/conventions define clear, testable APIs and these are essential for any distributed development.The system interoperates fully with RDF-based systems. Many elements can be algorithmically translated to RDF. A few core elements can be held in a more atomic form with bespoke semantics and software . By using this mixture of approaches we believe this is a cost-effective approach to interoperability within chemistry for those who wish to interoperate.http://bitbucket.org/cml/cmllite-validator-code and the web-based implementation is available at http://bitbucket.org/cml/cmllite-validator-ws both under an Apache 2.0 licence.The CMLValidator and associated tests are available at The authors declare that they have no competing interests.JAT developed the CMLLite approach, created the CMLValidator and the test corpus, and wrote the manuscript. PMR is the original author of CML, created the test corpus and wrote the manuscript.The attributes in CML are defined in attributeGroups which must have unique names allowing them to be disambiguated within the schema. The attributeGroup defines an attribute, its datatype/allowed values, and the name of the attribute in the document (these do not have to be unique).Element declarations in the schema specify which attributeGroups are allowed on them (which in this case caused polymorphism).Table etc.) of the convention, the validator is run against this test set to verify that its behaviour still conforms to expectations.The documents below are a subset of the documents used to test the behaviour of the simpleUnit convention validator. After every alteration This produces the following ValidationReport:http://www.xml-cml.org/report/\">xml is well formeddocument conforms to the schemadocument conforms to all the conventions specifiedAll appropriate URIs were reachableall dictRefs are resolvable The subsequent inputs produce exactly the same report and we therefore choose to explain what the document is testing for rather than show the output.(ii)http://www.w3.org/1999/xhtml\">Tests that simpleUnit convention can be declared on a unitList that is not the root element of the document and is a child of a foreign namespaced element.(iii)The simpleUnit convention can be declared on a unitList that is not the root element of the document and is a child of a CML element (module).(iv)Tests that simpleUnit convention can be declared on a unitList that is not the root element of the document and is a child of an element from the default-namespace.(v)http://www.w3.org/1999/xhtml\">Test that although CML does not have a mixed content model the unitList can occur within non-CML mixed content.(vi)http://www.w3.org/1999/xhtml\">Test that there can be multiple disjoint simpleUnit convention declarations in the same document.(vii)http://www.w3.org/1999/xhtml\">Tests that the unitList element can contain foreign namespaced elements without giving rise to info reports.(viii)Tests that the unitList element can contain elements from the default namespace without giving rise to info reports.(ix)http://www.w3.org/1999/xhtml\">Tests that the unit element can contain foreign namespaced elements without giving rise to info reports.(x)Tests that the unit element can contain elements from the default namespace without giving rise to info reports.(xi)http://www.w3.org/1999/xhtml\">Tests that a unitList may contain more than one unit child.The input documents below should all result in a ValidationResult of VALID and the ValidationReport should contain a single info element and MUST NOT contain either error or warning elements. info elements are used to give information about rules in a convention involving the MAY clause. Note that the complete ValidationReport is given for the first example but subsequent examples only contain the error message for brevity.(i)Produces:http://www.xml-cml.org/report/\"> xml is well formed document conforms to the schema http://www.xml-cml.org/schema'] [http://www.xml-cml.org/schema'] [http://www.xml-cml.org/convention/simpleUnit convention and may be ignored by some processors.molecule is not a part of the document conforms to all the conventions specified All appropriate URIs were reachable all dictRefs are resolvable (ii)http://www.xml-cml.org/convention/simpleUnit convention and may be ignored by some processors\"Produces: \"atom is not a part of the (iii)http://www.xml-cml.org/convention/simpleUnit convention and may be ignored by some processors\"Produces: \"bond is not a part of the e.g. order = '1') the test result would be VALID_WITH_WARNINGS because numeric bond orders are deprecated.Note that if the bond specified a numeric bond order ((iv)http://www.w3.org/1999/xhtml\">http://www.xml-cml.org/convention/simpleUnit convention and may be ignored by some processors\"Produces: \"bond is not a part of the (v)http://www.w3.org/1999/xhtml\">http://www.xml-cml.org/convention/simpleUnit convention and may be ignored by some processors\".Produces: \"molecule is not a part of the The documents below should all result in a ValidationResult of INVALID. The ValidationReport should contain a single error element and should not contain either info or warning elements.(i)Produces the following ValidationReport:http://www.xml-cml.org/report/\"> xml is well formed document conforms to the schema http://www.xml-cml.org/schema'] [ All appropriate URIs were reachable all dictRefs are resolvable (ii)http://www.w3.org/1999/xhtml\">Produces: \"the only valid cml element that can specify the simpleUnit convention is 'unitList'\". (Illustrating that the document is still being correctly traversed.)(iii)Produces: \"A unit list MUST contain child cml:unit elements\".(iv)Produces: \"A unit list MUST contain child cml:unit elements\".(v)http://www.w3.org/1999/xhtml\">Produces: \"A unit list MUST contain child cml:unit elements\".(vi)http://www.w3.org/1999/xhtml\">This unit is not a direct child of unitListand therefore should cause an error.Produces: \"A unit list MUST contain child cml:unit elements\".(vii)http://www.w3.org/1999/xhtml\">Produces: \"A unit list MUST contain child cml:unit elements\"."}
+{"text": "Simian immunodeficiency virus (SIV) infection of Indian-origin rhesus macaques (RM) has been widely used as a well-established nonhuman primate (NHP) model for HIV/AIDS research. However, there have been a growing number of studies using Chinese RM to evaluate immunopathogenesis of SIV infection. In this paper, we have for the first time reviewed and discussed the major publications related to SIV or SHIV infection of Chinese RM in the past decades. We have compared the differences in the pathogenesis of SIV infection between Chinese RM and Indian RM with regard to viral infection, immunological response, and host genetic background. Given AIDS is a disease that affects humans of diverse origins, it is of importance to study animals with different geographical background. Therefore, to examine and compare results obtained from RM models of Indian and Chinese origins should lead to further validation and improvement of these animal models for HIV/AIDS research. The antAlthough the published data have demonstrated that Chinese RM is a suitable macaque host for studies of HIV disease, more extensive investigations on testing of current HIV vaccine approaches in Chinese RM are needed in order to determine if efficacy of these approaches in humans can be predicted in Chinese RM. These future studies should provide further support for the use of Chinese RM for the investigation of HIV disease.AGM: African green monkey; AID50: 50% animal infectious doses; AIDS: Acquired immunodeficiency syndrome; CCL: Chemokine ligand; CCR5: C-C chemokine receptor 5; CD: Cluster of differentiation; Ch RM: Chinese rhesus macaques; CMV: Cytomegalovirus; CTL: Cytotoxic T Lymphocyte; DC: Dendritic cells; HIV: Human immunodeficiency virus; HLA: Human leukocyte antigen; HMBPP: (E)-4-Hydroxy-3-methyl-but-2-enyl pyrophosphate; IFN: Interferon; IL: Interleukin; LN: Lymph node; I.R: Intrarectally; I.V: Intravenously; IVAG: Intravaginally; MHC: Major histocompatibility complex; mtDNA: Mitochondrial DNA; NHP: Nonhuman primate; PMN: Polymorphonuclear neutrophils; SHIV: Simian-human immunodeficiency virus; SIV: Simian immunodeficiency virus; SNP: Specific single nucleotide polymorphisms; TCID50: 50% tissue culture infective dose; TDF: Tenofovir disoproxil fumarate.The authors declare that they have no competing interests.YZ wrote the manuscript. RB collected information for tables. NH, YP and WZH reviewed and edited the manuscript. All authors read and approved the final manuscript."}
+{"text": "Scientific Reports6: Article number: 2721710.1038/srep27217; published online: 06022016; updated: 07042016The original version of this Article contained typographical errors in the spelling of the author Alexandra Christina Isabelle Depelsenaire which was incorrectly given as Alexandra Christina Isobel Depelsenaire. This has now been corrected in the PDF and HTML versions of the Article."}
+{"text": "Scientific Reports5: Article number: 1521910.1038/srep15219; published online: 10152015; updated: 12142015The original version of this Article contained typographical errors in the spelling of the author Alice Mado Proverbio which was incorrectly given as C.A. Alice Mado Proverbio. This has now been corrected in the PDF and HTML versions of the Article."}
+{"text": "AbstractGraminoids, including grasses, are frequently described in the botanical literature as being wind-pollinated. This paper offers visual evidence for insect pollination of a grass. Three of the bees involved were found to have 100% grass pollen in their pollen sacs. In reviewing the literature for this paper, it was evident that those working with bees are well aware that these insects often pollinate graminoids. It is not clear why this information has not been incorporated into the botanical literature. Eremochloaophiuroides) Figs , 7 is a es) Figs . The popApismellifera, or honey bees, were introduced to North America by European settlers in the 1700's and are not native to the North American continent. They are now best described as being ubiquitous worldwide. Agricultural necessity has fostered this expansion as bees help to pollinate crops. Their evolutionary and phylogenetic origins appear to be multiple radiations out of Africa, with later expansions to Asia and Europe (Fagaceae) (Sarcocornia) , oaks (Fagaceae) , and eveocornia) .Supplementary material 1Climatological Data for Louisiana, June 2013Data type: PDFBrief description: Flat file for June 2013 precipitationFile: oo_6602.pdfNational Oceanic and Atmospheric AdministrationSupplementary material 2Climatological Data for Louisiana, July 2013Data type: PDFBrief description: Flat file for July 2013 precipitationFile: oo_6603.pdfNational Oceanic and Atmospheric AdministrationSupplementary material 3Climatological Data for Louisiana, August 2013Data type: PDFBrief description: Flat file for August 2013 precipitationFile: oo_6600.pdfNational Oceanic and Atmospheric AdministrationSupplementary material 4Climatological Data for Louisiana, September 2013Data type: PDFBrief description: Flat file for September 2013 precipitationFile: oo_6599.pdfNational Oceanic and Atmospheric AdministrationSupplementary material 5Climatological Data for Louisiana, October 2013Data type: PDFBrief description: Flat file for October 2013 precipitationFile: oo_6601.pdfNational Oceanic and Atmospheric AdministrationSupplementary material 6Derived wet summer data from NOAAData type: xlsBrief description: \"How-did\" converting inches to centimeters across three weather points in Baton Rouge, La., from manual NOAA PDF amalgamationFile: oo_6604.xlsxNOAA and Tim Jones"}
+{"text": "Scientific Reports6: Article number: 2004810.1038/srep20048; published online: 01282016; updated: 05232016.In the original version of this Article, Affiliation 1 was omitted for Zhiming Ma. This error has now been corrected in the PDF and HTML versions of the Article."}
+{"text": "The correct reference is: AntifilariasisCampaign (2013) Annual reports. Ministry of Health, Sri Lanka Available at"}
+{"text": "Scientific Reports6: Article number: 1953710.1038/srep19537; published online: 01182016; updated: 04202016.The original version of this Article contained typographical errors in the spelling of the author Guodong Yuan, which was incorrectly given as Gongdong Yuan. This has now been corrected in the PDF and HTML versions of the Article."}
+{"text": "Scientific Reports5: Article number: 1234910.1038/srep12349; published online: 08262015; updated: 02082016.The original version of this Article contained an error in the spelling of the author Kohei Fujikura, which was incorrectly given as K. Fujikura. This has now been corrected in both the PDF and HTML versions of the Article."}
+{"text": "Scientific Reports6: Article number: 21694;10.1038/srep21694 Published online: 02152016; Updated: 05092016The original version of this Article incorrectly listed \u2018College of Chemistry and Environment, Minnan Normal University, Zhangzhou, China, 363000\u2019 as a present address for Bang-Qin Huang rather than Shun-Xing Li.This error has now been corrected in the PDF and HTML versions of the Article."}
+{"text": "Scientific Reports5: Article number: 18366;10.1038/srep18366 published online: 12172015; updated: 03302016The original version of this Article contained a typographical error in the spelling of the author Lee D. Roberts, which was incorrectly given as Lee D. Robert. This has now been corrected in the PDF and HTML versions of the Article."}
+{"text": "Scientific Reports6: Article number: 20118; 10.1038/srep20118 published online: 01292016; updated: 03102016The original version of this Article contained typographical errors in the spelling of the author Terry G. Coursey, which was incorrectly given as Terry Coursy. This has now been corrected in the PDF and HTML versions of the Article."}
+{"text": "Asbestos exposure is related to various diseases including asbestosis and malignant mesothelioma (MM). Among the pathogenic mechanisms proposed by which asbestos can cause diseases involving epithelial and mesothelial cells, the most widely accepted one is the generation of reactive oxygen species and/or depletion of antioxidants like glutathione. It has also been demonstrated that asbestos can induce inflammation, perhaps due to activation of inflammasomes.The oxidation state of thioredoxin was analyzed by redox Western blot analysis and ROS generation was assessed spectrophotometrically as a read-out of solubilized formazan produced by the reduction of nitrotetrazolium blue (NTB) by superoxide. Quantitative real time PCR was used to assess changes in gene transcription.Here we demonstrate that crocidolite asbestos fibers oxidize the pool of the antioxidant, Thioredoxin-1 (Trx1), which results in release of Thioredoxin Interacting Protein (TXNIP) and subsequent activation of inflammasomes in human mesothelial cells. Exposure to crocidolite asbestos resulted in the depletion of reduced Trx1 in human peritoneal mesothelial (LP9/hTERT) cells. Pretreatment with the antioxidant dehydroascorbic acid (a reactive oxygen species (ROS) scavenger) reduced the level of crocidolite asbestos-induced Trx1 oxidation as well as the depletion of reduced Trx1. Increasing Trx1 expression levels using a Trx1 over-expression vector, reduced the extent of Trx1 oxidation and generation of ROS by crocidolite asbestos, and increased cell survival. In addition, knockdown of TXNIP expression by siRNA attenuated crocidolite asbestos-induced activation of the inflammasome.Our novel findings suggest that extensive Trx1 oxidation and TXNIP dissociation may be one of the mechanisms by which crocidolite asbestos activates the inflammasome and helps in development of MM. Malignant mesothelioma (MM) is a deadly cancer arising from the mesothelium and its etiology usually involves asbestos exposure. MM is aThioredoxin is a small ubiquitously expressed redox active protein that is important for maintaining the reducing milieu of the cell, in part by reducing protein disulfide bonds that occur in response to oxidative processes. During reduction of disulfide bonds Trx1 itself becomes oxidized and in turn reduced by thioredoxin reductase (TR) using electrons from reduced nicotinamide adenine dinucleotide phosphate (NADPH). Trx1 is2 and grown to 80\u201390% confluency as described previouslyethanesulfonic acid; ARE: Antioxidant response element; zYVAD-fmk: Carbobenzoxy-tyrosyl-valyl-alanyl-aspartyl-[O-methyl]- fluoromethylketone; Chry: Chrysotile asbestos; Croc: Crocidolite asbestos; DHA: Dehydroascorbic acid; DMSO: Dimethyl sulfoxide; DTT: Dithiotreitol; Dox: Doxorubicin; EV: Empty vector; EDTA: Ethylenediaminetetraacetic acid; ERK2: Extracellular signal regulated kinase 2; GB: Glass beads; HBSS: Hank\u2019s balanced salt solution; HMGB1: High mobility group box 1; LP9/hTERT (LP9): hTERT- immortalized human peritoneal cell line; HPRT: Hypoxanthine phosphoribosyl transferase; IAA: Iodoacetic acid; LDH: Lactate dehydrogenase; MM: Malignant mesothelioma; MnSOD: Manganese superoxide dismutase; NAC: N-acetylcysteine; NADPH: Nicotinamide adenine dinucleotide phosphate; NLRP3: NLR family pyrin domain containing 3; PBS: Phosphate-buffered saline; qRT-PCR/qPCR: Quantitative real time PCR; ROS: Reactive oxygen species; shERK2: Short hairpin RNA against ERK2; shCon: Short hairpin RNA non-targeting; SDS PAGE: Sodium dodecyl sulfate polyacrylamide gel electrophoresis; TBST: TBS-Tween; Trx1: Thioredoxin 1; TXNIP: Thioredoxin interacting protein; TR: Thioredoxin reductase; TBS: Tris-buffered saline.Authors declare no competing interests.JT, performed experiments and wrote the manuscript with the help of AS; CW, performed NAC and inflammasome related studies; MM, performed statistical analysis and made final figures for the publication. MM also provided technical assistance with many experiments; BM, conceived the initial idea and provided intellectual input; NH, provided all the plasmids used in the study and insightful discussion; PS, helped with redox Western blots; AS, conceived the idea, designed experiments, supervised the study, interpreted data, and helped JT in writing the manuscript. All authors have read and approved the manuscript."}
+{"text": "There are errors in the Author Contributions. The correct contributions are: Conceived and designed the experiments: ALC CRM RP FG EFS. Performed the experiments: ALC AG. Analyzed the data: ALC CRM RP. Contributed reagents/materials/analysis tools: FC FG EFS. Wrote the paper: ALC CRM RP FG EFS FC."}
+{"text": "Nature Communications7, Article number: 11317 10.1038/ncomms11317 (2016); Published: 04282016; Updated: 0526201615.13155/ncomms11317. This has now been corrected in both the PDF and HTML versions of the Article.The original version of this Article contained an error in the doi number, which was incorrectly given as"}
+{"text": "Scientific Reports6: Article number: 2529710.1038/srep25297; published online: 04292016; updated: 05312016The original version of this Article contained a typographical error in the spelling of the author Genyue Fu, which was incorrectly given as Genyu Fu. This has now been corrected in the PDF and HTML versions of the Article."}
+{"text": "Nature Communications 6: Article number: 788610.1038/ncomms8886 (2015); Published: 08072015; Updated: 10072015The original version of this Article contained an error in the phrase \u2018single electron spins' in the title. This has now been corrected in both the PDF and HTML versions of the Article."}
+{"text": "Nature Communications 7: Article number: 1164110.1038/ncomms11641 (2016); Published: 05182016; Updated: 06242016.The original version of this Article contained an error in the spelling of the author Somenath Bakshi, which was incorrectly given as Somenath Bakhsi. This has now been corrected in both the PDF and HTML versions of the Article."}
+{"text": "Nature Communications 6: Article number: 741410.1038/ncomms8414 (2015); Published: 06162015; Updated: 02182016.The authors inadvertently omitted Kimiora L. Ward, who managed and contributed data, from the author list. This has now been corrected in both the PDF and HTML versions of the Article."}
+{"text": "Scientific Reports5: Article number: 14570; 10.1038/srep14570published online: 09282015; updated: 10292015The original version of this Article contained a typographical error in the spelling of the author Hoe-Yune Jung which was incorrectly given as Hoe-Youn Jung.This has now been corrected in both the PDF and HTML versions of the Article."}
+{"text": "Citation: Inderjit. 2015. Introduction to the Special Issue: The role of soil microbial-driven belowground processes in mediating exotic plant invasions. AoB PLANTS7: plv052; doi:10.1093/aobpla/plv052One of the articles in the special issue was not included in the previous version of the introduction. A revised version which includes the missing article has been published, and we apologize for the omission."}
+{"text": "AbstractCales\u00a0has been extensively revised recently and divided into two species groups, the\u00a0noacki- and\u00a0spenceri-groups\u00a0The genus\u00a0Calesmotterni Polaszek, Shih & Ward sp. nov. is described from two females reared from the whitefly Bemisiapongamiae from Taiwan. The species belongs to the spenceri- group, and has a characteristic and unusual antennal clava. A key to the four\u00a0species currently known from the spenceri-group is provided. CalesCalesnoacki\u00a0Howard from eggs of Lepidoptera , C.orchamoplati Viggiani & Carver and C.berryi Mottern & Heraty .A series of surveys was undertaken from 2004 to 2014 for the collection of parasitoid host whiteflies, scale insects and aphids in Taiwan. Whiteflies were identified by C.C. Ko, National Taiwan University, where the holotype and paratype are deposited. Collection and rearing methods during this survey are detailed by Morphological terminology and the format for species descriptions follow NTU: National Taiwan UniversityPolaszek, Shih & Ward, 2015sp. n.urn:lsid:zoobank.org:act:81A93438-A9A8-45D3-9091-1EB842972CCAType status:Holotype. Occurrence: recordedBy: Y.T. Shih; individualCount: 1; sex: female; previousIdentifications: Bemisiapongamiaeex ; Location: country: TAIWAN; stateProvince: Xindian District; locality: Wulai; locationRemarks: Acer sp.on ; Event: eventDate: 10.xii.2010; Record Level: type: on slide; institutionID: NTUType status:Paratype. Occurrence: recordedBy: Y.T. Shih; individualCount: 1; sex: female; previousIdentifications: Bemisiapongamiaeex ; Location: country: TAIWAN; stateProvince: Xindian District; locality: Wulai; locationRemarks: Acer sp.on ; Event: eventDate: 10.xii.2010; Record Level: type: on slide; institutionID: NTUColour: pale brown; vertex of head and ante\u00adrior half of mesoscutum orange; posterior half of mesoscutum and scutellum brown; face and legs pale, almost white.Head with transverse sculpture, face ventral to antennae with scattered slender setae Fig. Unknown.Calesmotternisp.n. can be distinguished from other species in the genus by the following combination of characters: antennal clava with several multiporous plate sensilla attached throughout their lengths; each side lobe of mesoscutum with one seta; fore wing with setae rather evenly distributed; a single row of small campaniform sensilla on dorsal surface of basal cell, just posterior to submarginal vein.The species is named for Dr Jason Mottern, formerly of the University of California, Riverside, USA in recognition of his major contribution to our understanding of this unusual genus.TAIWAN: Xindian District, Wulai.Bemisiapongamiae (Hemiptera: Aleyrodidae). No parasitoids have been recorded to date from this host (A primary endoparasitoid of his host .Calesmotterni is an unusual species in several ways. Morphologically, the clava shows vestiges of having developed from a 2-segmented condition. This, plus the assumed plesiomorphic state of the wing setation, suggests it may be the most morphologically basal species known in the genus.The single female paratype is identical in all respects to the holotype. Calesmotternisp.n. is the only species of the genus currently known from Taiwan."}
+{"text": "Scientific Reports6: Article number: 2928510.1038/srep29285; published online: 07082016; updated: 08192016.The original version of this Article contained a typographical error in the spelling of the author Baoqiang Du which was incorrectly given as Baoqing Du. This has now been corrected in the PDF and HTML versions of the Article."}
+{"text": "Correction to:Corrigendum: British Journal of Cancer (2015) 113, 1641\u20131641; doi:10.1038/bjc.2015.391; published online 1 December 2015British Journal of Cancer, the authors noted that author KM Matula had been placed in the incorrect position on the author listing. The publishers would like to apologise for this mistake. The full and correct author listing is reproduced above.Upon publication of the above corrigendum in the"}
+{"text": "Scientific Reports5: Article number: 1424510.1038/srep14245; published online: 09182015; updated: 02082016.The original version of this Article contained typographical errors in the spelling of the authors Jaeyune Ryu, Hyoung-Juhn Kim and Jong Hyun Jang, which were incorrectly given as Jae Yoon Ryu, Hyung Juhn Kim and Jong Hyung Jang. These errors have now been corrected in the PDF and HTML versions of the Article."}
+{"text": "Scientific Reports6: Article number: 2584410.1038/srep25844; published online: 05162016; updated: 06102016.The original version of this Article contained an error in the spelling of the author Asfa Alli Shaik which was incorrectly given as Alli Shaik Asfa. This has now been corrected in the PDF and HTML versions of the Article."}
+{"text": "Nature Communications6, Article number: 7879 10.1038/ncomms8879 (2015); Published: 07292015; Updated: 08282013.The original version of this Article contained a typographical error in the spelling of the author Matthew Gilliham, which was incorrectly given as Matthew Gillham. This has now been corrected in both the PDF and HTML versions of the Article."}
+{"text": "Scientific Reports5: Article number: 1399410.1038/srep13994; published online: 09142015; updated: 12162015The original version of this Article contained a typographical error in the spelling of the author Takahiro Masaki which was incorrectly given as Takahiro Masaski.This has now been corrected in the PDF and HTML versions of the Article."}
+{"text": "A reference is omitted from the figure caption for The reference is: Forsman J, Van den Bogaard M, Linder C, Fraser D (accepted for publication 2014). Considering student retention as a complex system: a possible way forward for enhancing student retention. European Journal of Engineering Education."}
+{"text": "Nature Communications 6: Article number: 723110.1038/ncomms8231 (2015); Published: 06042015; Updated: 08272015.The original version of this Article incorrectly named the author Shuxin Han as Sean Han. This has now been corrected in both the PDF and HTML versions of the Article."}
+{"text": "Three authors were omitted from the author contributions section in the \u201ccontributed to the writing of the manuscript\u201d sub-section. Please refer to the correct author contributions here:Conceived and designed the experiments: LC GB AB. Performed the experiments: LC GB GLP. Analyzed the data: LC GB FP GLP. Contributed reagents/materials/analysis tools: CD AB GLP. Contributed to the writing of the manuscript: LC FP GB.GLP CD AB"}
+{"text": "Scientific Reports5: Article number: 1428810.1038/srep14288; published online: 09232015; updated: 12142015Review-only material was inadvertently published with the original version of this Article as Supplementary Movie 1. This has now been removed."}
+{"text": "AbstractMyotisalbescens occurs from Mexico southward to Uruguay and Argentina. The species is known for all South American countries except French Guiana and Chile.Myotisalbescens occurs in the Guiana Shield with other four congeners, from which it can be distinguished by external and skull traits. As an aid to future identifications, we provide a key to this assemblage.Based on one specimen recently collected in French Guiana we fill part of the gap in the distribution of the species in South America. Myotisalbescens was described by Etienne chauve-souris douzi\u00e8me (or chauve-souris brune-obscure) from Paraguay , on 31 July 2011 at an elevation of 42 m. The specimen was caught by hand, inside a hollow log. It is preserved in spirit, with skull prepared separately. The basicranium is broken, which prevented us from taking several measurements, but the rostrum and braincase\u2014structures useful in identifications\u2014are intact.The MHNG 1990.017 is an adult female collected by M. Dewynter at Rivi\u00e8re des Cascades, municipality of Montsinery, about 27 km SW of Cayenne, French Guiana from Paraguar\u00ed, Paraguay. This set of specimens covers the entire distribution range of the species, and comprises most of the morphological variation currently known for M.albescens.This specimen was directly or indirectly compared with more than 3,800 vouchers of New World Measurements are reported in millimetres (mm) and are from adults only. Dimensions were taken using digital callipers accurate to 0.02 mm, and craniodental measurements were taken under binocular microscopes with low magnification . Measurements include forearm length (FA), third metacarpal length (3MC), braincase breadth (BCB), interorbital breadth (IOB), postorbital breadth (POB), breadth across canines (BAC), breadth across molars (BAM), maxillary toothrow length (MTL), length of the upper molars (M1M3), and mandibular length (MAL). These measurements are defined in Type status:Other material. Occurrence: catalogNumber: MHNG 1990.017; occurrenceRemarks: caught by hand, inside a hollow log; sex: female; lifeStage: adult; preparations: Ethanol 70o GL; disposition: in collection; Taxon: scientificName: Myotisalbescens; kingdom: Animalia; phylum: Chordata; class: Mammalia; order: Chiroptera; family: Vespertilionidae; genus: Myotis; specificEpithet: albescens; taxonRank: species; scientificNameAuthorship: ; vernacularName: Silver-tipped myotis; nomenclaturalCode: ICZN; taxonomicStatus: accepted; Location: higherGeography: French Guiana; Montsinery; Rivi\u00e8re des Cascades; continent: South America; country: French Guiana; stateProvince: Cayenne; municipality: Montsinery; locality: Cayenne, 27 km SW; verbatimElevation: 42 m; verbatimCoordinates: 04\u00b045'01\"N 52\u00b029'08\"W; verbatimLatitude: 04\u00b045'01\"N; verbatimLongitude: 52\u00b029'08\"W; verbatimCoordinateSystem: degrees decimal minutes; Event: eventDate: 2011-07-31Presence of a fringe of hairs along the trailing edge of uropatagium, long and silky pelage with frosted appearance on the dorsum, ears 9\u201314 mm in length, broad interorbital and postorbital constrictions, and globular braincase.Southern Veracruz, Mexico, southward through Central America to Uruguay and Argentina.Myotis, there is no one single character distinguishing M.albescens from its congeners. However, the species can be easily identified based on the following set of traits: presence of a fringe of hairs along the trailing edge of uropatagium, long and silky pelage with frosted appearance on the dorsum, ears 9\u201314 mm in length, broad interorbital and postorbital constrictions, and globular braincase. Although this set of traits is not fully present in some specimens, the presence of a fringe of hairs along the trailing edge of the uropatagium has been recorded in 99.4% of the specimens examined (500 out of 503) throughout the entire distribution range of the species, and is useful to distinguish it from all Neotropical species but M.atacamensis and M.levis . Myotisatacamensis occurs from western Peru to northern Chile for French Guiana and for all South American countries except Chile, from which the species is possibly absent. Its southernmost record on the west side of the Andes is in the semideciduous forests of north-western Peru field identification that are likely erroneous. This stresses the importance of vouchered and carefully identified specimens to appropriately record species occurrences in such difficult taxonomic groups as the Neotropical Myotis of which occur in French Guiana (Although this record does not add any biological information for the species, it is useful to more accurately describe the spectacular biodiversity of French Guiana, and emphasizes its rich biota, which is taxonomically and ecologically highly diversified for bats. Paracou in French Guiana concentrates one of the highest species diversity in the world, with ca. 78 species see . About 1h Guiana ."}
+{"text": "Scientific Reports6: Article number: 2930910.1038/srep29309; published online: 07072016; updated: 08242016The original version of this Article contained a typographical error in the spelling of the author Amitava Banerjee, which was incorrectly given as Amitava Banarjee. This has now been corrected in the PDF and HTML versions of the Article."}
+{"text": "Scientific Reports5: Article number: 15578; 10.1038/srep15578 published online: 10232015; updated: 01202016.The original version of this Article contained a typographical error in the spelling of the author Gal Richter-Levin, which was incorrectly given as Gal Richter-Levine. This has now been corrected in both the PDF and HTML versions of the Article."}
+{"text": "AbstractTelotheta Warren found in Ecuador and Bolivia are described. The paper focuses on the morphological description and illustration of the wing pattern and genitalia structures of the typus generis Telothetamuscipunctata Dognin and the newly identified species Telothetaunoi and Telothetafresei. The distinguishing characters of the genera Telotheta and Paromphacodes are also briefly discussed.Two new species of the lophochoristine genus Geometramuscipunctata.\u00a0Telothetachlorostigma), discussing the similarity of the species he discovered and Dognin's Geometramuscipunctata, highlighting the differences observed in the colour of the frons, and of the venation of the forewing.A delicate, bluish green moth from Southern Ecuador was described by\u00a0Telotheta for the first time, presented a comparative morphological characterization and synonymized the two species.\u00a0Telotheta\u00a0 with the tribe Lophochoristini. She characterized the male and female genital structures of the monotypical genus Telotheta. The genus-level characteristics of Telotheta include: hind tibia with one pair of spurs, the absence of the frenulum in females, the absence of usual transverse lines on wings, the absence of fields of modified scales on the male abdominal sternite A3. Pitkin described the female antennae as being filiform or dentate and mentioned the similarity of the genera Oospila Warren, 1897 and Telotheta, while the latter differs from the former by lacking the characteristical lophochoristine abdominal crests, which are composed of specialized, long, erect and curled scales.Telotheta are described below.Two further species of the genus The present study was initiated by attempts to identify moths found in the collections of the Estonian Museum of Natural History and in the IZBE insect collection which is deposited at the Estonian University of Life Sciences (Tartu). The material is collected by Aare Lindt.Telothetamuscipunctata (see the description of Telothetafresei\u00a0 below). Moths were mostly photographed prior to investigation of the genital structures using a Canon 300D digital camera, while genital slides were photographed with an Olympus SZ60 microscope and Leica M165C digital camera. The obtained photographs were augmented using Adobe Photoshop Elements v7 in order to improve their resolution.The mounting of emerald green moths is a complicated process and the method that was used required injecting some water into the thorax, followed by keeping the moth in a container with a high air moisture environment for about 2 hours, and finally desiccating the mounted sample at around 60\u00b0C for about 12 hours. Palpi, antennae, legs and details of wing venation were measured using an ocular micrometer and binocular microscopes, using 40\u00d7 magnification. The genital slides of males and females were treated using established procedures , inspectLindt & Viidaleppsp. n.urn:lsid:zoobank.org:act:DA996931-3FEE-4EF9-8DEE-E4D6FAE4AE0DType status:Holotype. Occurrence: sex: male; Location: country: Ecuador; stateProvince: Napo; verbatimLocality: Carlos Julio; verbatimElevation: 950 m; verbatimLatitude: 01\u00b015'33\"S; verbatimLongitude: 77\u00b049'27\"W; decimalLatitude: -1.259167; decimalLongitude: -77.824167; Event: samplingProtocol: UV light sampling; eventDate: 2008-02-10; Record Level: institutionCode: EMNHType status:Paratype. Occurrence: sex: 4 males; Location: country: Ecuador; stateProvince: Napo; verbatimLocality: Carlos Julio; verbatimElevation: 950 m; verbatimLatitude: 01\u00b015'33\"S; verbatimLongitude: 77\u00b049'27\"W; decimalLatitude: -1.259167; decimalLongitude: -77.824167; Event: samplingProtocol: UV light sampling; eventDate: 2008-02-10; Record Level: institutionCode: EMNH; collectionCode: IZBEHead, thorax and abdomen. Male: The wing span of males is 15\u201317 mm . The costal edge of the forewing is lined light brown (slightly rosy in Telothetamuscipunctata). The hindwing distal margins are evenly rounded, not slightly angulated at the middle.Male genitalia Type status:Other material. Occurrence: recordedBy: Aare Lindt; individualCount: 1; sex: male; Location: country: Ecuador; stateProvince: Pichincha; verbatimLocality: El Transito; verbatimElevation: 1080; verbatimLatitude: 00\u00b018'59\"S; verbatimLongitude: 78\u00b054'54\"W; Event: samplingProtocol: UV light sampling; eventDate: 2008-02-03; Record Level: institutionCode: ENHMBoth original descriptions by P. Dognin and W. Warren (see Introduction) refer to the pale bluish green moths with large green discal blotches on both wings. The colour of the frons was described as yellowish ochreous by Dognin, and as brick red by Warren.Telothetamuscipunctata has a row of about 20 stout curved setae to the distal margin of valva, and the thorn-like projections of the sternite A8 appear slightly diverging . The forewing costal edge is lined light brown (slightly rosy in Telothetamuscipunctata).ngs Fig. are densMale genitalia . The aedeagus is about 1.3 mm long. The distal process of the uncus is reduced, the gnathos arms are short hooked. In Telothetafresei the juxta and the transtilla together constitute a long anellar complex. The juxta is broader than in the two other species. The valva is apically bilobed, the apical lobe as in Telothetamuscipunctata (more slender in Telothetaunoi). The dorsal margin of the apical lobe bears about 8-10 scattered, stout, curved setae,\u00a0and about 20 such setae in a row in Telothetamuscipunctata. The ventral margin of the subapical lobe of the valva is straight. Sternite A8 distal projections are flat and triangularly rounded, completely different from the slender, rigid projections in Telothetamuscipunctata and Telothetaunoi.lia Fig. c. The maTelothetamuscipunctata and therefore treated as conspecific.\u00a0Telothetamuscipunctata males by the presence of two rod-like processes to the posterior edge of the last abdominal sternite and females by having a large roundish sclerotization in\u00a0 the sterigmal area, a membranous bursa copulatrix, provided with a \"small signum with two tapered prongs\" (Telothetamuscipunctata and Telothetafresei are clear. prongs\" : 408. ThTelothetafresei from Ecuador and from Bolivia differ slightly in the shape of the eighth sternite of male abdomen. The sternite has triangular projections to its posterior edge in the populations of Ecuador, and more rounded projections in the\u00a0 populations from Bolivia. This phenomenon requires further investigation: the differences are slight and, possibly, clinal.The series of This new species is named in honour of the former lutherian pastor in L\u00e4\u00e4ne-Nigula, West Estionia, Theodor Alexander Benedict Frese. His insect collection, consisting of several thousands of mounted and labelled local butterflies, moths and other hexapods, was donated in 1864 to the Eestimaa Provintsiaalmuuseum, the precedor of the Estonian Museum of Natural History. The 150th anniversary of the Museum will be celebrated 2014. The gender is masculine.Telothetafresei is described from Eastern Ecuador and Bolivia.Telothetafresei is collected in tropical forests between about 500 m and 2000 m elevation.Telotheta species are to be separated as follows:The three Telothetamuscipunctata\u00a0 moths have a slender frons, pale green, semidiaphanous wings and a bicornute sternite A8 in male;Telothetafresei moths have frons broad, both wings similarly pale green, the male sternite A8 flat with two broad projections distally;Telothetaunoi\u00a0 has frons broad, forewings dark green and dense scaled, and the male sternite A8 bicornute like in Telothetamuscipunctata."}
+{"text": "In the Funding section, one grant number from the funder Papes VI/FIOCRUZ/Brazilian National Council for Scientific and Technological Development (CNPQ) is missing. The grant number is: 407582/2012\u20136."}
+{"text": "Nature Communications 6: Article number: 805610.1038/ncomms9056 (2015); Published: 08202015; Updated: 09232015.In Fig. 5d of this Article, a shaded box was inadvertently placed over the lower part of the panel during the final stages of production. The correct version of the figure appears below.Figure 5"}
+{"text": "Nature Communications7: Article number: 11826 10.1038/ncomms11826 (2016); Published: 06072016; Updated: 08162016The original version of this Article contained an error in the spelling of the author Frances Eun-Hyung Lee that was incorrectly given as Francis Eun-Hyung Lee. This has now been corrected in both the PDF and HTML versions of the Article."}
+{"text": "Scientific Reports5: Article number: 1122810.1038/srep11228; published online: 06102015; updated: 09022015.In the Supplementary Information file originally published with this Article, the primer sequences for cloning the constructs were omitted. This error has now been corrected in the Supplementary Information that now accompanies the Article."}
+{"text": "Nature Communications 6: Article number: 786610.1038/ncomms8866 (2015); Published: 07222015; Updated: 02102016.The original version of this Article contained an error in the spelling of the author Edda Kloppmann, which was incorrectly given as Edda Kloppman. This has now been corrected in both the PDF and HTML versions of the Article."}
+{"text": "Scientific Reports6: Article number: 2577810.1038/srep25778; published online: 05122016; updated: 07202016The original version of this Article contained a typographical error in the spelling of the author Qingjian Wu, which was incorrectly given as Qingjiang Wu. This has now been corrected in the PDF and HTML versions of the Article."}
+{"text": "Scientific Reports5: Article number: 13532; 10.1038/srep13532 published online: 09012015; updated: 05202016.The original version of this Article contained a typographical error in the spelling of the author Karen Vanhoorelbeke, which was incorrectly given as Karen Vanhoorelbeeke. This has now been corrected in the PDF and HTML versions of the Article."}
+{"text": "BMC Medical Genomics [Following the publication of the article in Genomics , it was Given names: Herman M.J.Surname: SontropGiven names: Marcel J.T.Surname: ReindersGiven names: Perry D.Surname: MoerlandWe apologize for the inconvenience this may have caused."}
+{"text": "Nature Communications6: Article number: 8745 10.1038/ncomms9745 (2015); Published: 10262015; Updated: 11272015The original version of this Article contained an error in the spelling of the author Gilbert Di Paolo, which was incorrectly given as Gilbert D. Paolo. This has now been corrected in both the PDF and HTML versions of the Article."}
+{"text": "Nature Communications 6: Article number: 868710.1038/ncomms9687 (2015); Published: 10222015; Updated: 01112016.The original version of this Article contained an error in the spelling of the author Tomislav Ilicic, which was incorrectly given as Tomislav Illicic. This has now been corrected in both the PDF and HTML versions of the Article."}
+{"text": "Scientific Reports6: Article number: 2132310.1038/srep21323; published online: 02182016; updated: 04132016Supplementary Datasets 2\u20135 were inadvertently published with the original version of this Article. These have now been removed."}
+{"text": "Nature Communications6: Article number: 888410.1038/ncomms9884 (2015); Published: 12022015; Updated: 01212016.The original HTML version of this Article contained an error in the spelling of the author R. Elizabeth Sockett, which was incorrectly given as Elizabeth R. Sockett. This has now been corrected in the HTML. The PDF version of the Article was correct from the time of publication."}
+{"text": "Nature Communications6: Article number:681910.1038/ncomms7819 (2015); Published 04142016; Updated 06142016The original version of this Article contained an error in the spelling of the author Hugh P. Possingham, which was incorrectly given as Hugh P. Posssingham. This has now been corrected in both the PDF and HTML versions of the Article."}
+{"text": "Scientific Reports6: Article number: 21817; 10.1038/srep21817 published online: 02242016; updated: 05202016.In Figure 2 of this Article, the upper left graph is a duplication of the upper right graph. The correct Figure 2 appears below as"}
+{"text": "Scientific Reports6: Article number: 1931910.1038/srep19319; published online: 01132016; updated: 04132016In the original version of this Article, the symbol \u201cIn addition, the HTML version of the Article incorrectly listed Venkata Jayasurya Yallapragada, and not Venu Gopal Achanta, as corresponding author.These errors have now been corrected in the PDF and HTML versions of the Article."}
+{"text": "Scientific Reports6: Article number: 23499; 10.1038/srep23499 published online: 03232016; updated: 04292016.In the Supplementary Information file originally published with this Article, references 31 and 32 were incorrectly given as references 44 and 45 respectively. These errors have been corrected in the Supplementary Information that now accompanies the Article."}
+{"text": "AbstractMilichiidae are often myrmecophilic. We document the first record of a fly from this family interacting with an ant of the genus Polyrhachis. In lowland riparian rainforest in Sabah, Malaysia, we observed a female of the genus Milichia following an ant of the species of\u00a0P.illaudata, and repeatedly attempting to make close contact. Our observation suggests that the dipteran may have been attempting to feed kleptoparasitically from the Polyrhachis\u00a0worker, since members of this ant genus often feed on liquid carbohydrate-rich food resources. This is the first time an interaction has been observed between a fly of this family and an ant of this widespread old world tropical genus.Flies in the family Milichid flies often interact with ants, with either adults feeding kleptoparasitically from foraging ant workers, or larvae feeding on detritus in the nest . Howeverth 2014, in an area of regularly inundated riparian forest 100m from the river close to the field centre, we observed an ant of the genus Polyrhachis traversing the top of a plastic sheet c. 50 cm in height, which was being used as a vertical barrier to trap amphibians on the forest floor during the field course. The single Polyrhachis worker was being followed closely (c. 3 cm above and behind) by a hovering dipteran, which frequently attempted to make closer contact with the ant, in particular when the ant stopped moving. The ant was not behaving normally, but appeared to be attempting evasion of the dipteran. We observed this for approximately thirty seconds before collecting both ant and dipteran into a plastic container. The dipteran was initially not disturbed by its collection, and continued for some time with attempts to make close contact with the ant. We were unable to directly observe the outcome of these attempts (either kleptoparasitism or oviposition). Both insects were then preserved in 95% ethanol and point mounted for identification. To identify the ant we first used a key to the ant genera of Borneo . To identify the fly we used the key to genera at http://milichiidae.info/content/key-genera-milichiidae, based on that of Field observation and collection was conducted during a field course organised by the Naturalis Biodiversity Center at Danau Girang Field Centre on the lower Kinabatangan river, Sabah, Malaysia. On March 4f Borneo . We thenf Borneo \u00a0and finaMeigen, 1830Type status:Other material. Occurrence: individualCount: 1; sex: female; lifeStage: adult; behavior: following an ant; preparations: whole animal point\u00a0mounted; disposition: In collection; otherCatalogNumbers: DIP 00713; Taxon: scientificName: Milichia; parentNameUsage: Milichiinae; originalNameUsage: Milichia\u00a0Meigen 1830; Location: higherGeography: Asia; Malaysia; Sabah; Kinabatangan River Floodplain; continent: Asia; country: Malaysia; stateProvince: Sabah; locality: Kinabatangan River Floodplain; verbatimLocality: Kinabatangan River Floodplain ~10km downstream from Lahad Datu - Sandakan road crossing; verbatimElevation: 30 m; verbatimCoordinates: 5.4115, 118.0395; verbatimLatitude: 5.4115; verbatimLongitude: 118.0395; verbatimCoordinateSystem: decimal degrees; decimalLatitude: 5.4115; decimalLongitude: 118.0395; Identification: identifiedBy: Irina Brake; dateIdentified: 13-09-2014; identificationReferences: Brake (2000); identificationRemarks: Milichia females to species.Not possible to assign ; Event: samplingProtocol: Manual collection into plastic pot.; samplingEffort: Single collection event.; eventDate: 2014-03-04; habitat: Riparian lowland rain forest.Walker, 1859Type status:Other material. Occurrence: individualCount: 1; sex: female; lifeStage: adult; behavior: foraging; preparations: whole animal point mounted; disposition: in collection; otherCatalogNumbers: HYM\u00a00003736; Taxon: scientificName: Polyrhachis (Myrma) illaudata\u00a0Walker 1859; parentNameUsage: Formicinae; Location: higherGeography: Asia; Malaysia; Sabah;\u00a0Kinabatangan River Floodplain; continent: Asia; country: Malaysia; stateProvince: Sabah; locality: Kinabatangan River Floodplain; verbatimLocality: Kinabatangan River Floodplain ~10km downstream from Lahad Datu - Sandakan road crossing; verbatimElevation: 30 m; verbatimCoordinates: 5.4115, 118.0395; verbatimLatitude: 5.4115; verbatimLongitude: 118.0395; verbatimCoordinateSystem: decimal degrees; decimalLatitude: 5.4115; decimalLongitude: 118.0395; Identification: identifiedBy: Tom M. Fayle; dateIdentified: 2014-06-20; identificationReferences: www.antbase.net; The BORNEENSIS collection at the Institute for Tropical Biology, Universiti Malaysia Sabah; Dorow 1995.; Event: samplingProtocol: Manual collection into plastic pot.; samplingEffort: Single sampling occasion.; eventDate: 2014-03-04Milichia . The ant was identified as belonging to the species Polyrhachisillaudata\u00a0, and P.beccarii, which is morphologically similar, but much larger than P.illaudata.The dipteran was identified as a female of the genus hia Fig. , in the ata\u00a0Fig. in the sMilichiidae being associated with an ant in the genus Polyrhachis. The only other record of an ant in the tribe Camponotini being associated with this family of flies is that of Camponotusacvapimensis, with a fly of the species Milichiasavannaticola being found with the ant, although it was not clear whether the two species were interacting (Formicinae including Lasius (Formica (Milichia female was attempting to feed kleptoparasitically from the P.illaudata\u00a0ant, since many other species of diptera in this family are known to conduct such attacks, either feeding on regurgitated liquid food or through licking anal secretions (Polyrhachis ants, and indeed other genera in the Camponotini, are known to feed extensively on liquid carbohydrate-rich food sources at extrafloral and floral nectaries, and also to attend homopterans (To our knowledge, this is the first record of a fly in the family eracting . Howeverg Lasius \u00a0and Form(Formica . Althougcretions . Polyrhaopterans , and henopterans . Howeveropterans , and so"}
+{"text": "Scientific Reports6: Article number: 2089810.1038/srep20898; published online: 02162016; updated: 04132016The original version of this Article contained a typographical error in the spelling of the author Josef Andreas Weber, which was incorrectly given as Josef Andreass Weber. This has now been corrected in the PDF and HTML versions of the Article."}
+{"text": "AbstractNeossos Malloch contains three Nearctic and one western European species. Most known specimens have been collected from bird nests. Two specimens of an undescribed species of Neossos were collected by sweeping in subarctic tundra and a mesic meadow in the Yukon Territory, Canada. This represents a significant northward extension of the known Nearctic range of the genus.The rarely collected genus Neossostombstonensissp. n. is described from the Yukon Territory. This represents the fourth described Nearctic species of Neossos. Although the type specimens were collected by sweeping, the species is predicted to be associated with bird nests, based on habits of other members of the genus. A revised key to the Nearctic species of Neossos is provided. Neossos Malloch, 1927 is a rarely collected genus of acalyptrate Diptera primarily associated with bird nests, where the larvae are apparently saprophagous in nest material. Neossos and recognized three species in the region: Neossosmarylandicus Malloch, 1927 (associated with cavity-nesting passerine birds in eastern North America); N.californicus Melander, 1952 (associated with raptors in western United States and southern British Columbia); and N.atlanticus Gilbert & Wheeler, 2007 . In the course of a large-scale study of arthropod diversity and ecology in northern Canada, we collected two specimens of Neossos from the Yukon Territory, far north of the documented geographic range of Nearctic Neossos species. Those specimens are described here as Neossostombstonensissp. n.Field-collected specimens were preserved in 95% ethanol and subsequently chemically dried using Hexamethyldisilazane. Type specimens are deposited in the Lyman Entomological Museum, McGill University, Ste-Anne-de-Bellevue, QC, Canada (LEMQ) and have been assigned unique specimen identifiers in the format LEM0000000. Genitalic dissection of the male holotype was made by detaching the posterior part of the abdomen, and heating it in 85% lactic acid on a heating plate for 10 minutes. Cleared genitalia were transferred to glycerin for examination and drawing, then stored in glycerin in a plastic microvial pinned with the specimen.Solecki & Wheeler, 2015sp. n.urn:lsid:zoobank.org:act:A7C54472-8048-461F-8C58-5DE8413622E4Type status:Holotype. Occurrence: recordedBy: NBP Field Party; sex: male; Taxon: class: Insecta; order: Diptera; family: Heleomyzidae; genus: Neossos; specificEpithet: tombstonensis; scientificNameAuthorship: Solecki & Wheeler, 2015; Location: continent: North America; country: Canada; stateProvince: Yukon Territory; verbatimLocality: Dempster Hwy nr North Fork Pass; verbatimElevation: 1200 m; decimalLatitude: 64.57942; decimalLongitude: -138.28212; geodeticDatum: WGS84; Event: samplingProtocol: sweeping; year: 2011; month: 6; day: 24; habitat: wet tundra; fieldNumber: wet replicate 3; Record Level: datasetID: LEM0110624; institutionCode: LEMQType status:Paratype. Occurrence: recordedBy: TA Wheeler; sex: female; Taxon: class: Insecta; order: Diptera; family: Heleomyzidae; genus: Neossos; specificEpithet: tombstonensis; scientificNameAuthorship: Solecki & Wheeler, 2015; Location: continent: North America; country: Canada; stateProvince: Yukon Territory; verbatimLocality: S Klondike Hwy, 18.2 km S Alaska Hwy, Robinson Road House; decimalLatitude: 60.44839; decimalLongitude: -134.84961; geodeticDatum: WGS84; Event: samplingProtocol: sweeping; year: 2012; month: 7; day: 9; habitat: mesic meadow; Record Level: datasetID: LEM0110625; institutionCode: LEMQGeneric characters as described by Epandrium brown, rounded, wider than high; hypandrium pale brown, ventral hypandrial process with 9 setae; surstylus with outer lobe roughly triangular, narrowing distinctly in basal half; postgonite large; distiphallus with fine setulae for most of length except distally; epiphallus clavate Figs , 3.The species is named for the Tombstone Mountains and Tombstone Territorial Park, where the holotype specimen was collected.Known only from the southern and central Yukon Territory, Canada.Neossos are rarely collected. Of approximately 130 specimens studied by Neossos, N.nidicola , known from Great Britain and Finland (N.tombstonensis by sweeping was surprising, the rarity of specimens was not. Multiple years of intensive sampling at the two localities from which types were collected, as well as other similar sites in the Yukon, have not produced another specimen.Because they are apparently obligate associates of bird nests, specimens of Finland is closeN.tombstonensis were collected in two distinct habitats. The North Fork Pass site is a wet tundra meadow north of treeline in the Ogilvie Mountain ranges. Dominant vegetation includes sphagnum mosses, grasses, sedges and ericaceous shrubs over a substrate with extensive permafrost. In contrast, the Robinson Road House site is a mesic meadow with a diverse assemblage of herbaceous plants dominated by Asteraceae, Fabaceae, and Poaceae, on a sand substrate in a clearing surrounded by spruce-pine-aspen forest.The types of Neossos, it is likely that N.tombstonensis is also a nest associate. Each of the other three Nearctic species exploits a different microhabitat and host group: Neossosmarylandicus in association with cavity-nesting passerines; N.californicus in raptor nests; and N.atlanticus in nests of cliff-nesting seabirds (N.tombstonensis was collected, so it is impossible to speculate on the identity or nesting habits of the hosts.Based on the known habits of the other described species of seabirds . Several"}
+{"text": "Scientific Reports6: Article number: 21282;10.1038/srep21282 Published online: 02172016; Updated: 06022016The original version of this Article contained errors in the spelling of the authors Anis Allagui, Mohammad Ali Abdelkareem, Hussain Alawadhi and Ahmed S. Elwakil which were incorrectly given as Allagui Anis, Ali Abdelkareem Mohammad, Alawadhi Hussain and S. Elwakil Ahmed respectively.These errors have now been corrected in the PDF and HTML versions of the Article."}
+{"text": "Scientific Reports6: Article number: 24628; 10.1038/srep24628 published online: 04192016; updated: 06272016.An incorrect Supplementary Information file was inadvertently published with this Article. In addition, Supplementary Movies 1\u20135 were omitted. The correct Supplementary Information and Supplementary Movies now accompany the Article."}
+{"text": "Scientific Reports6: Article number: 2009010.1038/srep20090; published online: 01292016; updated: 04132016The original version of this Article contained an error in the spelling of the author Yan Huang, which was incorrectly given as Yanhuang. This has now been corrected in the PDF and HTML versions of the Article."}
+{"text": "Scientific Reports5: Article number: 1731910.1038/srep17319; published online: 11302015; updated: 03292016The original version of this Article contained a typographical error in the spelling of the author Mikhail A. Livshits, which was incorrectly given as Mikhail A. Livshts. This has now been corrected in both the PDF and HTML versions of the Article."}
+{"text": "There are errors in the Funding section. The correct funding information is as follows: This work was supported by Chang Gung Medical Research Program CMRPG 3C1441: HSC; CMRPG 391201\u20133: HSC; CMRPD 1A0302: WJS; CMRPD 190173: WJS. The funders had no role in study design, data collection and analysis, decision to publish, or preparation of the manuscript."}
+{"text": "Scientific Reports5: Article number: 17094; 10.1038/srep17094 published online: 11252015; updated: 01192016.The original version of this Article contained a typographical error in the spelling of the author Ben Murrell which was incorrectly given as Ben Murrel. This has now been corrected in the PDF and HTML versions of the Article."}
+{"text": "Scientific Reports5: Article number: 17568;10.1038/srep17568 published online: 12032015; updated: 04282016The original version of this Article contained a typographical error in the spelling of the author Marc B. Bissonnette, which was incorrectly given as Marc B. Bissonette. This has now been corrected in the PDF and HTML versions of the Article."}
+{"text": "There are errors in the Author Contributions. The correct contributions are: Conceived and designed the experiments: GS SA AM LF. Analyzed the data: GS. Wrote the paper: GS. Revised paper: SA AKW FM AM LF"}
+{"text": "Nature Communications7 Article number:1147910.1038/ncomms11479 (2016); Published: 05102016; Updated: 06062016.The original version of this Article contained an error in the spelling of \u2018refine' in the title of the paper. This has now been corrected in both the PDF and HTML."}
+{"text": "AbstractCoccidohystrixinsolita (Green) (Hemiptera: Pseudococcidae), is recorded from the island of Guam in the Mariana Islands for the first time. Factors indicating that this introduced mealybug has the potential to become a pest of economic importance for agriculture and horticulture on Guam are discussed.The eggplant mealybug, Coccidohystrixinsolita (Green) is broadly distributed in the tropics and subtropics and well known as a agricultural and horticultural pest for diagnosis. A total of seven adult female specimens were selected and prepared on three microscope slides using the method given by Type status:Other material. Occurrence: catalogNumber: AM20131204.002; occurrenceRemarks: on eggplant leaves; recordedBy: Jesse Bamba; sex: 7 slide-mounted adult females were examined; Location: islandGroup: Mariana Islands; island: Guam; municipality: Dededo; locality: near Swamp Road; decimalLatitude: 13.539981; decimalLongitude: 144.83435; Identification: identifiedBy: Gillian W. Watson; dateIdentified: 2013-12-13; Event: samplingProtocol: eggplant leaf samples; eventDate: 2013-12-04; Record Level: collectionID: ESUG; institutionCode: UGUAM; basisOfRecord: LivingSpecimen; source: http://guaminsects.myspecies.info/node/26239-segmented; posterior ostioles present, anterior ostioles absent; cerarii on margins numbering 17 pairs, numerous dorsal cerarii present also, each cerarius consisting of 1\u201315 large conical setae situated on a sclerotized prominence, without any associated trilocular pores; legs well developed, each claw with a denticle present on plantar surface; circulus absent; anal lobes well developed, each with a sclerotized ventral bar; quinquelocular pores numerous on venter; multilocular disc pores numerous on venter of abdominal segments III-IX, a few also present on the venter of segments I and II and on the dorsum of segment VII; ventral oral collar ducts present on submargins of abdominal segments V-VIII; oral rim ducts absent entirely.Coccidohystrixinsolita.Diagnosis was based Coccidohystrixinsolita has been recorded in the literature from the following regions and countries:Afrotropical: Kenya, Madagascar, Rodriques Island (Mauritius), South Africa, Tanzania, Zanzibar; Australasian: Western Samoa; Oriental: Bangladesh, Burma (=Myanmar), India, Laos, Pakistan, Philippines, Sri Lanka, Thailand, Vietnam; Palaearctic: China, Saudi Arabia (i Arabia .Coccidohystrixinsolita on Alternanthera (Amaranthaceae) imported from Singapore ; Hyperaspismaindronia; Nephusregularis; Lepidoptera:Lycaenidae: Spalgisepeus . Experience has shown that invasive species which originate from outside of the U.S., such as this one, are harder to deal with than those accidentally imported from the U.S. mainland or Hawaii. For invasive insect species already present in the U.S., control resources are usually readily available. Often research has been done, control methods have been developed, biological control agents have been identified, an exploratory entomologist has been sent out to collect candidate species, and these have been imported, cultured and tested, and are available for use on Guam. However, resources are scant when it comes to responding to invasive species of non-U.S. origin.Rapid Response Capacity. There is currently a critical lack of capacity to deal with entomological problems on Guam and in the rest of Micronesia. The number of Ph.D. level entomologists practicing on Guam and in the rest of Micronesia has decreased from nine during the mid-1990s to only three at present.Biological Control Agent Import Permits. Guam is required to comply with U.S. Department of Agriculture regulations for importing biological control agents. These requirements are far more stringent for organisms originating outside of the U.S. than for those imported from within the U.S. Delays in the permitting process and a lack of capacity to comply with permit conditions sometimes impede rapid progress towards establishment of biological control in time to prevent major economic and environmental damage. Often, there is a pest population explosion prior to implementation of biological control. During this initial outbreak, risk of accidental export to trading partners is high."}
+{"text": "There are currently no agreed recommendations on how to investigate children for gastrointestinal (GI) involvement in Juvenile Systemic Sclerosis (JSSc). The aim of screening is to detect disease early to facilitate early aggressive therapy and improve outcomes. GI involvement at diagnosis incurs a worse outcome [1]. Most deaths occur early in the disease course .To develop recommendations for investigation of GI involvement in JSSc, based on paediatric evidence and where this was lacking, consensus expert agreement.Members of the PRES Scleroderma Working Group were invited to participate; additionally a paediatric gastroenterologist was invited. A nominal group technique was used. 75% consensus was defined as agreement.Table N-terminal pro-brain natriuretic peptide; GORD: gastro-oesophageal reflux disease.BP: blood pressure; ECG: electrocardiogram; ECHO: echocardiogram; MRI: magnetic resonance imaging; HRCT: high resolution computerised tomography; PFT: DLCO pulmonary function tests with diffusion capacity of lung for carbon monoxide; 6MWT: 6 minute walk test; NT BNP: JSSc has a significant mortality particularly early on in the disease course. The objective of an aggressive screening program is to identify GI involvement at a stage which may be amenable to treatment. The recommendations developed by this group aim to standardise care and improve outcomes in this rare disease.None declared."}
+{"text": "Scientific Reports5: Article number: 1243910.1038/srep12439; published online: 07272015; updated: 09212015The original version of this Article contained an error in the spelling of the author Paul R. Bessell, which was incorrectly given as Paul B. Bessell. This has now been corrected in both the PDF and HTML versions of the Article."}
+{"text": "AbstractTipula (Vestiplex) hugueniniana Alexander, 1971 is proposed as junior synonym of Tipula (V.) wahlgrenana Alexander, 1968. The new synonymy is based on similarity of male genitalia.Based on examination of type specimens a crane fly species Tipula (Vestiplex) Bezzi, 1924, are characterized by an ovipositor with the cerci powerfully constructed, heavily sclerotized with outer margins serrate, smooth in several Asiatic species; hypovalvae small to rudimentary includes 170 valid species and subspecies level taxa, which are distributed throughout the Nearctic, Palaearctic and Oriental Regions .TMMP, program Immage-Pro Express 6.0. (Media Cybernetics).Specimens were studied with an Olympus SZ51 microscope. Pictures were taken with an Olympus SZX10, camera EvolutionTerminology of morphological features generally follows that of Alexander, 1968Tipula (Vestiplex) wahlgrenanaTipula (Vestiplex) wahlgrenanaTipula (Vestiplex) hugueninianasyn. n.Type status:Holotype. Occurrence: recordedBy: Schmid; sex: male; preparations: antennae, leg, wing and genitalia on slide mounted; Taxon: genus: Tipula; subgenus: Vestiplex; specificEpithet: wahlgrenana; scientificNameAuthorship: Alexander, 1968; Location: country: India; stateProvince: Kumaon; verbatimLocality: Khumyara, Pauri Garhwal; verbatimElevation: 4300-5000 feet [1311-1524 m]; Event: eventDate: 28 May 1958; Record Level: institutionCode: USNMType status:Holotype. Occurrence: recordedBy: Schmid; sex: male; preparations: antenna, legs, wing and genitalia on slide mounted; Taxon: genus: Tipula; subgenus: Vestiplex; specificEpithet: hugueniniana; scientificNameAuthorship: Alexander, 1971; Location: country: India; stateProvince: Sikkim; verbatimLocality: Nanga; verbatimElevation: 5000 feet [1524 m]; Event: eventDate: 11 May 1959; Record Level: institutionCode: USNMType status:Paratype. Occurrence: recordedBy: Schmid; sex: male; preparations: antenna, leg, wing and genitalia on slide mounted; Taxon: genus: Tipula; subgenus: Vestiplex; specificEpithet: hugueniniana; scientificNameAuthorship: Alexander, 1971; Location: country: India; stateProvince: Kumaon; verbatimLocality: Duldhar, Pauri Garhwal; verbatimElevation: 4500 feet [1372 m]; Event: eventDate: 2 June 1958; Record Level: institutionCode: USNMTipula (Vestiplex) recorded in India. Three species were described by Edwards .Tipula (V.) wahlgrenana Alexander, 1968 hugueniniana Alexander, 1971 wahlgrenana, the other male was collected somewhat east of the previous locality, but two weeks earlier in the following year. These two males are also the only known specimens for the described species hugueniniana, Tipula (V.) gandharva Alexander, 1951 and Tipula (V.) tuta Alexander, 1936, without mentioning its similarity to Tipula (V.) wahlgrenana. After detailed analysis of the two holotype and one paratype specimens of Tipula (V.) wahlgrenana and Tipula (V.) hugueniniana, we found that they cannot be distinguished from each other positively; differences concern only quantitative characters, without qualitative differences. The original description of the morphological details of Tipula (V.) hugueniniana in essence repeats the morphological characters of Tipula (V.) wahlgrenana. The only difference, according to Alexander\u2019s descriptions, is the general coloration of the mesonotal prescutum, which is obscure yellow in Tipula (V.) hugueniniana and light grey in Tipula (V.) wahlgrenana. Based on our observation, the coloration of the prescutum varies depending on the angle at which light strikes its surface.The types of both species were examined. It was found that all the specimens are very similar. In the original description of The new synonymy is based on the structure of the male genitalia. All the three examined specimens have the hypopygium as in Fig. Female unknown."}
+{"text": "Nature Communications 6: Article number: 7390 (2015); 10.1038/ncomms8390 Published: 06162015; Updated 08212015.The original version of this Article contained a typographical error in the spelling of the author Jae-Ho Cheong, which was incorrectly given as Jae-Ho Jeong. This has now been corrected in both the PDF and HTML versions of the Article."}
+{"text": "Scientific Reports5: Article number: 850210.1038/srep08502; published online: 02172015; updated: 09182015This Article contains an error in Fig. 5e, where the p-Akt immunoblots depicted for the Cerebellum are a duplication of the p-Akt immunoblots depicted for the Hippocampus. The correct Fig. 5e appears below as"}
+{"text": "Scientific Reports6: Article number: 21838;10.1038/srep21838 Published online: 02242016; updated: 05092016The original version of this Article contained a typographical error in the spelling of the author Xianzhen Yin, which was incorrectly given as Xianzheng Yin. This has now been corrected in the PDF and HTML versions of the Article."}
+{"text": "Nature Communications4: Article number: 186710.1038/ncomms2886 (2013); Published: 05212013; Updated: 04202016The financial support for this Article was not fully acknowledged. The Acknowledgements should have included the following:Huang-Ge Zhang is supported by a Research Career Scientist (RCS) Award."}
+{"text": "The following information is missing from the Funding section: Grant name: Using Fossil Proteomics for Resolving Phylogenetics of Extinct Mammalian Orders in Ancient Biodiversity Hotspots Principal. Investigator: Dr M Buckley, The University of Manchester, Life Sciences. Grant held at: The University of Manchester, Life Sciences. NERC Reference: NE/K000799/1"}
+{"text": "Some of the author contributions for Melissa S. Anderson were omitted. The following are the correct author contributions for this paper:Conceived and designed the experiments: ENW DHK. Performed the experiments: ENW MSA MSL. Analyzed the data: ENW MSA DHK. Contributed reagents/materials/analysis tools: MSA. Wrote the paper: ENW DHK"}
+{"text": "There are errors in the Author Contributions. The correct contributions are: Conceived and designed the experiments: IG. Performed the experiments: IG. Analyzed the data: IG OS. Wrote the paper: IG OS."}
+{"text": "It should be corrected as follows:incorrect: November 26, 2013correct: December 13, 2013This correction has been completed on the electronic file of the present paper available at J-STAGE.The editorial board expresses sincere apology for the misprinting.Microbes and Environments editorial board"}
+{"text": "The sixth author's name is spelled incorrectly. The correct name is: Bidhan Chandra Chakraborty.The seventh author's name is spelled incorrectly. The correct name is: Sukanta Ray.The second sentence of the \u201cCell culture and Transfection\u201d section of the Materials and Methods incorrectly references Xtremegene. It should read X-tremeGENE HP.In the Acknowledgements, Bidhan Chandra Chakraborty should also be listed as having a registered PhD with the West Bengal University and health sciences.There are errors in the Author Contributions. The correct contributions are: Conceived and designed the experiments: KD GKD AC SB. Performed the experiments: Somenath Datta S. Roychoudhury Alip Ghosh DD Amit Ghosh BCC AKS. Analyzed the data: Somenath Datta SB. Contributed reagents/materials/analysis tools: S. Ray SG Simanti Datta. Contributed to the writing of the manuscript: SB."}
+{"text": "There are errors in the Author Contributions. The correct contributions are: Conceived and designed the experiments: TFK MP. Performed the experiments: MP. Analyzed the data: KAM. Contributed reagents/materials/analysis tools: KAM MP TFK. Wrote the paper: KAM TFK."}
+{"text": "Scientific Reports5: Article number: 1514510.1038/srep15145; published online: 10192015; updated: 01212016The original version of this Article contained a typographical error in the spelling of the author Jakob Goldmann which was incorrectly given as Jakob Goldman. This has now been corrected in both the PDF and HTML versions of the Article."}
+{"text": "Scientific Reports6: Article number: 2660310.1038/srep26603; published online: 05252016; updated: 06202016The original version of this Article contained errors in the spelling of the author Hemanta K. Majumder which was incorrectly given as H. K. Mazumdar. This has now been corrected in the PDF and HTML versions of the Article."}
+{"text": "Prevention plays a fundamental role: if these disorders are diagnosed and treated precociously, the risk of infertility is considerably reduced.Andrological disorders in paediatric age are important: they may cause serious repercussions on normal fecundity and someThe authors suggest a new prevention model based on an Andrological Form to be included in the periodical medical examination by the family paediatrician. If the paediatrician detects an andrological disorder during periodical checks, he/she should refer the patient to the paediatric andrologist or paediatric surgeon. The Andrological Form consists of 11 sections to be filled by the family paediatrician . The first section consists of the patient's records, weight and height included. Second: patient's pubertal development. Third: testicular volume according to Prader. Forth: testicular position. Fifth section: the presence of varicocele. Sixth: penis disorders . Seventh: gynecomastia . Eight: occurrence of other associated genito-urinary disorders. Ninth: previous andrological surgery interventions. Tenth: previous medical therapies. Eleventh: sport practicing. The Andrological form should be filled at the following ages: 1) 6 months ; 2) 1 year old ; 3) 5 years old ; 4) 10 years old ; 5) at 11, 12, 13 and 14 years old .The periodic compilation of the Andrological Form , therefo"}
+{"text": "AbstractEuphydryas (Hypodryas) maturna (L.) is included in the Habitats Directive's Annexes II and IV(a). Therefore, it is crucially important to be able to define the habitat and breeding places of E.maturna in a correct and unbiased way.The scarce fritillary Melampyrumsylvaticum L.), of Euphydryasmaturna in Finland is presented.Data on a previously unknown pre-diapause main host plant, the small cow-wheat ( Euphydryas (Hypodryas) maturna is a high-profile species within the European Union, as it has been included in the Habitats Directive's Annexes II and IV(a). Based on the Annex II, special conservation areas (i.e. Natura 2000 areas) need to be designated for E.maturna. The Annex IV lists species in need of strict protection, and those species and their breeding and resting places are protected by national legislation, which also applies to Finland. Therefore, the ability to define the habitat and breeding places of E.maturna in a correct and unbiased way is crucially important for both protecting the species effectively and not making uninformed administrative decisions which may be economically very costly. Euphydryasmaturna is a wide-spread species in SW Finland, and it has been assessed as Least Concern by the IUCN criteria in Finland has been recorded as the main host plant (Melampyrumsylvaticum L.), of Euphydryasmaturna in Finland.The species of the tribe iridoids . Iridoidiridoids . Larval se Table and/or psee e.g. . In Finlst plant . Here, IE.maturna were systematically searched from an area of ca. 3.5 km2 within the municipalities of Sipoo and Pornainen in southern Finland . All larval groups were georeferenced with GPS and photographed, and a sample of each host plant was collected for identification. Plant samples were identified by Henry V\u00e4re . Fieldwork was made by MN and Kari Nupponen between August 27 and September 11 in 2014.Larval groups of Type status:Other material. Occurrence: occurrenceRemarks: number of larval groups counted (with unknown number of larvae per group); recordedBy: Marko Nieminen; individualCount: 120; lifeStage: larva; Taxon: scientificName: Euphydryas maturna; order: Lepidoptera; family: Nymphalidae; genus: Euphydryas; specificEpithet: maturna; taxonRank: species; Location: country: Finland; stateProvince: Uusimaa; municipality: Sipoo; locality: Brusas; verbatimElevation: 60 m; verbatimCoordinates: 60\u00b026.73'N 25\u00b017.95'E; verbatimLatitude: 60\u00b026.73'N; verbatimLongitude: 25\u00b017.95'E; decimalLatitude: 60.4455; decimalLongitude: 25.2992; Identification: identifiedBy: Marko Nieminen; dateIdentified: 2014; Event: samplingProtocol: visual search; eventDate: 2014-08-27/09-11; Record Level: language: en; basisOfRecord: Photographed; source: marko.nieminen@faunatica.fiType status:Other material. Occurrence: occurrenceRemarks: number of larval groups counted (with unknown number of larvae per group); recordedBy: Marko Nieminen; individualCount: 23; lifeStage: larva; Taxon: scientificName: Euphydryas maturna; order: Lepidoptera; family: Nymphalidae; genus: Euphydryas; specificEpithet: maturna; taxonRank: species; Location: country: Finland; stateProvince: Uusimaa; municipality: Pornainen; locality: M\u00e4kel\u00e4; verbatimElevation: 60 m; verbatimCoordinates: 60\u00b027.32'N 25\u00b017.94'E; verbatimLatitude: 60\u00b027.32'N; verbatimLongitude: 25\u00b017.94'E; decimalLatitude: 60.4554; decimalLongitude: 25.2991; Identification: identifiedBy: Marko Nieminen; dateIdentified: 2014; Event: samplingProtocol: visual search; eventDate: 2014-08-27/09-11; Record Level: language: en; basisOfRecord: Photographed; source: marko.nieminen@faunatica.fiType status:Other material. Occurrence: occurrenceRemarks: number of larval groups counted (with unknown number of larvae per group); recordedBy: Kari Nupponen; individualCount: 24; lifeStage: larva; Taxon: scientificName: Euphydryas maturna; order: Lepidoptera; family: Nymphalidae; genus: Euphydryas; specificEpithet: maturna; taxonRank: species; Location: country: Finland; stateProvince: Uusimaa; municipality: Pornainen; locality: Honkasenkalliot; verbatimElevation: 60 m; verbatimCoordinates: 60\u00b026.51'N 25\u00b019.27'E; verbatimLatitude: 60\u00b026.51'N; verbatimLongitude: 25\u00b019.27'E; decimalLatitude: 60.4419; decimalLongitude: 25.3211; Identification: identifiedBy: Kari Nupponen; dateIdentified: 2014; Event: samplingProtocol: visual search; eventDate: 2014-09-10/11; Record Level: language: en; basisOfRecord: Photographed; source: marko.nieminen@faunatica.fiMelampyrum spp. M.sylvaticum. In addition, three larval groups have been found in the same area in the autumn of 2013, all on M.sylvaticum .Due to the dry conditions in July and August, many or even all host plants had withered especially in open rocky areas. Therefore, reliable identifications based on plant morphology were possible for 121 samples. Of the identified samples, 30 plants (25%) were E.maturna is highly variable throughout its range (Table Fraxinus is the most regularly used oviposition-plant genus in the Central Europe (e.g. Veronicalongifolia are often used in the eastern areas (e.g. Plantagolanceolata is frequently used after diapause in Austria (M.sylvaticum in a study performed about 200 km to the northeast of this study area (M.pratense and M.sylvaticum still remain uncertain throughout Finland.The regional host plant use of ge Table , but is ope e.g. , whereaseas e.g. . Howevereas e.g. , for exa Austria . There mudy area . MoreoveM.sylvaticum as a host plant (Fig. E.maturna and the amount of resources available for it. In the study area, the increase in both of these variables must be manyfold, but remains to be quantified. Melampyrumpratense is much more vulnerable to desiccation and withering because it grows in drier sites than M.sylvaticum. The ability to use both of these Melampyrum species is extremely important in dry summers such as 2014, when more than 90% of host plants had withered in several sites. That high rate of dry host plants has likely increased mortality of groups of small larvae and may also decrease overwintering success due to starvation of larvae, which are common phenomena in another larval group-forming species Melitaeacinxia in Finland (e.g. The use of ant Fig. considerand e.g. .Vacciniummyrtillus had been eaten within some larval webs. Even though I could not confirm that E.maturna larvae had eaten them, it is, however, likely because other herbivorous larvae were not observed and Melampyrum individuals were almost completely dry in and around these larval nests. Therefore, larvae may have used V.myrtillus to rescue themselves from starvation. The same explanation may apply to the odd observations of larvae feeding on e.g. Fagus, Populus and Salix regularly referred to in the literature (e.g. Some leaves of ure e.g. . A furth"}
+{"text": "Scientific Reports5: Article number: 1043410.1038/srep10434; published online: 05222015; updated: 10052015The original version of this Article contained a typographical error in the spelling of the author Kaori Ishikawa, which was incorrectly given as Kaori Iashikawa. This has now been corrected in both the PDF and HTML versions of the Article."}
+{"text": "Scientific Reports5: Article number: 1737810.1038/srep17378; published online: 11272015; updated: 02082016.This Article contains a typographical error in Affiliation 2. The correct affiliation is listed below:Department of Radiation Oncology, The Fifth Affiliated Hospital of Sun Yat-sen University, People\u2019s Republic of China"}
+{"text": "Nature Communications6: Article number: 8510 10.1038/ncomms9510 (2015); Published: 10142015; Updated: 03042016The original version of this Article contained a typographical error in the spelling of the author Zhenyi Liu, which was incorrectly given as Zenhy Liu. This has now been corrected in both the PDF and HTML versions of the Article."}
+{"text": "Scientific Reports6: Article number: 2402710.1038/srep24027; published online: 04132016; updated: 05312016The original version of this Article contained an error in the spelling of the author Esaki Muthu Shankar, which was incorrectly given as Shankar Esaki Muthu. This has now been corrected in the PDF and HTML versions of the Article."}
+{"text": "There is an error in the corresponding author designations. Christoph Buettner should be listed as a co-corresponding author. The correct corresponding authors are:mlamerrill@ucdavis.eduMichele La Merrill christoph.buettner@mssm.eduChristoph Buettner There are errors in the Author Contributions. Christoph Buettner should be listed as one of the persons who conceived and designed the experiments, analyzed the data, contributed reagents/materials/analysis tools and contributed to the writing of the manuscript. The correct contributions are:Conceived and designed the experiments: MLM and CB. Performed the experiments: MLM EK CL MLF. Analyzed the data: MLM EK EM CL MLF JN and CB. Contributed reagents/materials/analysis tools: MLM JN CB. Contributed to the writing of the manuscript: MLM EK EM CL MLF JN CB."}
+{"text": "Although molecular tools are increasingly employed to decipher invertebrate systematics, earthworm (Annelida: Clitellata: \u2018Oligochaeta\u2019) taxonomy is still largely based on conventional dissection, resulting in data that are mostly unsuitable for dissemination through online databases. In order to evaluate if micro-computed tomography (\u03bcCT) in combination with soft tissue staining techniques could be used to expand the existing set of tools available for studying internal and external structures of earthworms, \u03bcCT scans of freshly fixed and museum specimens were gathered.GigaDB and are publicly available for download.Scout images revealed full penetration of tissues by the staining agent. The attained isotropic voxel resolutions permit identification of internal and external structures conventionally used in earthworm taxonomy. The \u03bcCT projection and reconstruction images have been deposited in the online data repository The dataset presented here shows that earthworms constitute suitable candidates for \u03bcCT scanning in combination with soft tissue staining. Not only are the data comparable to results derived from traditional dissection techniques, but due to their digital nature the data also permit computer-based interactive exploration of earthworm morphology and anatomy. The approach pursued here can be applied to freshly fixed as well as museum specimens, which is of particular importance when considering the use of rare or valuable material. Finally, a number of aspects related to the deposition of digital morphological data are briefly discussed. The present dataset constitutes the first attempt at comparative micro-computed tomography (\u03bcCT) scanning of earthworm (Annelida: Clitellata: \u2018Oligochaeta\u2019) specimens. When used in combination with staining techniques that permit enhancing soft tissue contrast , \u03bcCT couThe aim of the present report is to provide the earthworm research community with a reference dataset for future analyses of soft-bodied organisms based on non-destructive imaging techniques. In addition, uninhibited data access and enforced data deposition, as practiced here, are briefly discussed.i.e. Aporrectodea caliginosa and Aporrectodea trapezoides . All four specimens were stained using an ethanol-based phosphotungstic acid (PTA) solution, which was adapted from protocols described previously . This would result in large morphological taxon sampling, one of the prerequisites for broad taxonomic and systematic studies. Furthermore, non-invasive imaging techniques such as \u03bcCT leave specimens intact and generate digital data suitable for online dissemination, an important condition for effective data mining.GigaDB and has a citable digital object identifier (DOI) [The dataset is available at er (DOI) . Each ofDataset name: MicroCT scans of freshly fixed and museum earthworm specimensOperating system: Platform-independentLicense: Creative Commons 0 (CC0) public domain dedication (https://creativecommons.org/publicdomain/zero/1.0/)http://imagej.nih.gov/ij/). In addition, numerous other 2D and 3D visualization tools are available for free [Following download, the reconstructed images can, for example, be rapidly visualized using the \u2018File:Import:Image Sequence\u2019 command chain in the Java-based imaging software ImageJ (for free . Given tGigaDB[The dataset presented here permits full open access both to \u03bcCT-derived raw data (here: the projection images) as well as derivative data (here: the reconstructed image stacks). The availability of \u03bcCT raw data files has been deemed important, primarily due to the rapid increase in the performance of reconstruction algorithms, which in the future could lead to improved data reconstruction . FurtherGigaDB. DespiteGigaDB, and metGigaDB.GigaScience Database online repository [The dataset supporting the results of this article is available in the pository .2D: Two-dimensional; 3D: Three-dimensional; BMP: Bitmap image file; CC0: Creative Commons 0 1.0 public domain dedication; DOI: Digital object identifier; FTP: File Transfer Protocol; GigaDB: GigaScience Database; GNU: GNU\u2019s not unix; gzip: GNU zip; MCZ IZ: Museum of Comparative Zoology Invertebrate Zoology; \u03bcCT: Micro-computed tomography; PTA: Phosphotungstic acid; RAM: Random access memory; ROI: region of interest; TIFF: Tagged image file format; VOI: Volume of interest.The authors declare that they have no competing interests.Conceived and designed the experiments: JL SK RF AZ. Performed the experiments: JL SK RF. Analyzed the data: JL SK RF AZ. Contributed reagents/materials/analysis tools: JL SK RF GG AZ. Wrote the paper: JL SK RF GG AZ. All authors read and approved the final manuscript."}
+{"text": "There is an error in reference 71. The correct reference is: Abele, AE. The dynamics of masculine-agentic and feminine-communal traits: Findings from a prospective study. Journal of Personality and Social Psychology. 2003; 85: 768\u2013776."}
+{"text": "AbstractCamponotusparabarbatus sp. n. Presence of dense, short setae on gena and ventral surface of head resembles it most to Camponotusbarbatus Roger, 1863 distributed in Southeast Asia. A regional identification key of Camponotus species is provided from the Shivalik hills of Indian Himalaya.A new species of carpenter ant, collected in the Shivalik range of Himalaya is described and illustrated based on the worker and gyne castes under the name Camponotus are known worldwide software. These images were processed with Adobe Photoshop CS5. Holotype and paratypes have been deposited in PUPAC, Punjabi University Patiala Ant Collection, Patiala. One paratype will be deposited at BMNH, Natural History Museum, London, UK and one at California Academy of Sciences, San Francisco, USA. Morphological definitions for measurements (accurate to 0.01 mm) include: \u2013 HL+ML+PL+GLTL; (Head Length) \u2013 length of head, excluding mandibles, measured in a straight line from anteriormost point of median clypeal margin to midpoint of occipital margin in full-face viewHL; (Head Width) \u2013 maximum width of head, measured in full-face viewHW; (Eye Length) \u2013 maximum length of eye as measured in oblique view of the head to show full surface of eyeEL; (Scape Length) \u2013 straight-line length of antennal scape excluding condylar bulbSL; (Mesosoma Length) \u2013 diagonal length of mesosoma in lateral view from the point at which pronotum meets cervical shield to posteroventral corner of mesosomaML; (Pronotum Width) \u2013 maximum width of pronotum in dorsal viewPW; (Petiole Length) \u2013 In profile, the maximum length of the petiole node, measured in a straight horizontal line from immediately above the dorsal base of the anterior petiolar tubercle to the posterior marginPL; (midtibia Length) \u2013 maximum length of midtibia in lateral view, with tibial base and apex in the same plane of focus, and with tibia at right angle to femurmTbL; (hindtibia Length) \u2013 maximum length of hindtibia in lateral view, with tibial base and apex in same plane of focus, and with tibia at right angle to femurhTbL; \u2013 length of the gaster in lateral view from the anteriormost point of first gastral segment to the posteriormost point of the last segmentGL.Bharti & Wachkoo, 2014sp. n.urn:lsid:zoobank.org:act:2A5E348D-3C27-4194-B147-9CACF67854CFType status:Holotype. Occurrence: recordedBy: Aijaz A. Wachkoo; individualCount: 1; sex: worker; Location: country: India; stateProvince: Himachal Pradesh; locality: Rewalsar; verbatimElevation: 1360 m; verbatimLatitude: 31.6345\u00b0N; verbatimLongitude: 76.8343\u00b0EType status:Paratype. Occurrence: recordedBy: Aijaz A. Wachkoo; individualCount: 5; sex: 2 workers, 3 gynes; Location: continent: Asia; country: India; stateProvince: Himachal Pradesh; locality: Rewalsar; verbatimElevation: 1360 m; verbatimLatitude: 31.6345\u00b0N; verbatimLongitude: 76.8343\u00b0EType status:Paratype. Occurrence: recordedBy: Aijaz A. Wachkoo; individualCount: 6; sex: workers; Location: continent: Asia; country: India; stateProvince: Uttarakhand; verbatimElevation: 640 m; verbatimLatitude: 30.3416\u00b0N; verbatimLongitude: 77.9903\u00b0E; Record Level: institutionCode: Forest Research InstituteType status:Paratype. Occurrence: recordedBy: Aijaz A. Wachkoo; individualCount: 8; sex: workers; Location: continent: Asia; country: India; stateProvince: Uttarakhand; locality: Rajaji Forest Area; verbatimElevation: 660 m; verbatimLatitude: 30.2483\u00b0N; verbatimLongitude: 77.9878\u00b0EDescription of worker .Head: Head subtriangular, longer than wide in major worker , with arched margins laterally, posterior margin shallowly concave .As in major worker, with modifications expected for caste and the following differences: head more elongate, sides relatively straight, occipital margin convex; mandible, clypeus and gena brownish. Head narrower than in conspecific major workers; mandible 7 toothed; scape barely reaches the posterior margin of head. Reticulate sculpture more pronounced on head; scutum with scattered wide, shallow punctures. Propodeum dorsum forms right angle with declivity.parabarbatus is a compound word meaning \u201csimilar to barbatus\u201d.The species epithet This species seems to be rare in the Shivalik range of Northwest Himalaya although collected from both forested and non-forested areas of the region. Most workers were collected from vegetation while gynes and some workers were found under a large stone.Camponotusparabarbatus resembles to the Camponotusbarbatus distributed in Southeast Asia (Camponotusparabarbatus is subtriangular with a shallowly concave posterior margin, the eyes well within the lateral cephalic margins, and the scape barely touches the posterior margin of head, while in Camponotusbarbatus majors the head is subrectangular with gently convex posterior margin, eyes almost touching the lateral cephalic margins, scape surpasses the posterior margin of head by about 0.25 of its length. In Camponotusparabarbatus minor workers, the scape surpasses the posterior margin of head by about 0.33 of its length, whilst in Camponotusbarbatus the scape does so by half its length. Additionally, Camponotusparabarbatus is uniformly jet-black whereas Camponotusbarbatus is red brown in color.ast Asia but can"}
+{"text": "There are errors in the Author Contributions. The correct contributions are: Conceived and designed the experiments: ANJ. Performed the experiments: ANJ. Analyzed the data: ANJ CPU. Contributed reagents/materials/analysis tools: ESG. Wrote the manuscript: ANJ."}
+{"text": "Scientific Reports5: Article number: 1601910.1038/srep16019; published online: 11022015; updated: 01072016.The original version of this Article contained a typographical error in the spelling of the author Mengtao Sun, which was incorrectly given as Mentao Sun. This has now been corrected in the PDF and HTML versions of the Article."}
+{"text": "Nature Communications 6: Article number: 894810.1038/ncomms9948 (2015); Published: 11132015; Updated: 06062015.Imin using a simple parabolic \u03ba(E) WKB approximation, one would extract a much smaller bandgap since Imin is severely underestimated.'This Article contains an error in the penultimate sentence of the penultimate paragraph. This sentence should read: \u2018In other words, if one would analyse the minimum current level"}
+{"text": "Scientific Reports5: Article number: 1121710.1038/srep11217; published online: 06162015; updated: 09212015The original version of this Article contained a typographical error in the spelling of the author Huanyang Chen, which was incorrectly given as Huangyang Chen. This has now been corrected in both the PDF and HTML versions of the Article."}
+{"text": "Nature Communications6: Article number: 8963 10.1038/ncomms9963 (2015); Published: 11252015; Updated: 02012016The original version of this Article contained a typographical error in the spelling of the author Chang-Hsiao Chen, which was incorrectly given as Chiang-Hsiao Chen. This has now been corrected in both the PDF and HTML versions of the Article."}
+{"text": "AbstractLaonastesaenigmamus Jenkins, Kilpatrick, Robinson & Timmins, 2005 was originally discovered in Lao People's Democratic Republic in 2005. This species has been recognized as the sole surviving member of the otherwise extinct rodent family Diatomyidae. Laonastesaenigmamus was initially reported only in limestone forests of Khammouane Province, Central Lao. A second population was recently discovered in Phong Nha Ke Bang National Park (PNKB NP), Quang Binh Province, Central Vietnam in 2011. The confirmed distribution range of L.aenigmamus in Vietnam is very small, approximately 150 km2, covering low karst mountains in five communes of Minh Hoa District, Quang Binh Province, at elevations between 250 and 400 m asl. The Laotian Rock Rat inhabits the lower part of steep karst towers with many rock boulders and crevices under tall limestone evergreen forest. They use small rock crevices for their dens. The natural habitat of this species in PNKB NP has been affected by selected timber harvesting, however, a complex 3-4 layer forest structure is retained. The Laotian Rock Rat is omnivorous, feeding on parts of 18 plant species and also some insects . The population of this species in PNKB NP is seriously threatened with extinction due to its very restricted distribution, high hunting pressure, and habitat disturbance. Laonastesaenigmamus is listed in the IUCN Red List as endangered and in the Wildlife and Aquatic Red List of Lao, however, this species has not been listed in the Red Data Book or any conservation legislative documents of Vietnam.The Laotian Rock Rat Laonastesaenigmamus, was first discovered in 2005 in Lao People's Democratic Republic of Minh Hoa District, Quang Binh Province. These communes were selected because only these communes contain primary or little affected limestone forest as preferable habitat of the Laotian Rock Rat and are situated close to locality where the first Vietnamese specimens of Laotian Rock Rat were collected in 2011. During the village interview survey, all previously trapped animals of Laotian Rock Rat or their remains were collected for further laboratory studies.Based on the results of our village interview survey, 12 areas where local villagers have previously trapped the Laotian Rock Rat were selected for targeted field surveys using cage traps and box traps. After taking morphological characters, all live-trapped animals were released back into the wild at the place where they were trapped. Study of Laotian Rock Rat habitat was carried out in the same 12 areas using transect survey and plot survey techniques. Plots of 10 x 10 m were used for inventory of all trees with height more than 3m, plots of 4 x 4 m for inventory of bush trees of height from 0.5 m to 3 m, and plots of 1 x 1 m for inventory of herbs and tree seedlings less than 0.5 m high.Food items of the Laotian Rock Rat were identified by examining the stomach contents of 10 preserved specimens, food remnants found in the species dens, and observation of live specimens in semi-wild conditions in natural habitat. Food identification was conducted by taxonomic experts based on morphological characters of food item remains. Threats to population and habitat of Laotian Rock Rat were evaluated based on interviews of local villagers and direct observation of threat signs in the species distribution area.Jenkins, Kilpatrick, Robinson & Timmins, 2005Type status:Other material. Occurrence: recordedBy: Nghia Xuan Nguyen; individualCount: 1; sex: male; Location: country: Vietnam; stateProvince: Quang Binh; verbatimLocality: Thuong Hoa Commune, Minh Hoa District; verbatimElevation: 200-350m; verbatimLatitude: 17\u00b040\u201939\u2019'N; verbatimLongitude: 105\u00b057\u201922\u2019\u2019E; Event: samplingProtocol: trapping; eventDate: 6 Sept 2011; habitat: Karst forest; Record Level: collectionID: PNKB-NXN21; institutionCode: IEBR; collectionCode: RodentiaDVZ-Type status:Other material. Occurrence: recordedBy: Nghia Xuan Nguyen; individualCount: 1; sex: unkown; Location: country: Vietnam; stateProvince: Quang Binh; verbatimLocality: Thuong Hoa Commune, Minh Hoa District; verbatimElevation: 200-350m; verbatimLatitude: 17\u00b040\u201905\u2019'N; verbatimLongitude: 105\u00b056\u201927\u2019\u2019E; Event: samplingProtocol: trapping; eventDate: 3 Sept 2011; habitat: Karst forest; Record Level: collectionID: PNKB-NXN232; institutionCode: IEBR; collectionCode: RodentiaDVZ-Type status:Other material. Occurrence: recordedBy: Nghia Xuan Nguyen; individualCount: 1; sex: unkown; Location: country: Vietnam; stateProvince: Quang Binh; verbatimLocality: Thuong Hoa Commune, Minh Hoa District; verbatimElevation: 200-350m; verbatimLatitude: 17\u00b040\u201955\u2019'N; verbatimLongitude: 105\u00b054\u201940\u2019\u2019E; Event: samplingProtocol: trapping; eventDate: 7 April 2012; habitat: Karst forest; Record Level: collectionID: PNKB-NXN231; institutionCode: IEBR; collectionCode: RodentiaDVZ-Type status:Other material. Occurrence: recordedBy: Nghia Xuan Nguyen; individualCount: 1; sex: unkown; Location: country: Vietnam; stateProvince: Quang Binh; verbatimLocality: Thuong Hoa Commune, Minh Hoa District; verbatimElevation: 200-350m; verbatimLatitude: 17\u00b040\u201932\u2019'N; verbatimLongitude: 105\u00b057\u201952\u2019\u2019E; Event: samplingProtocol: trapping; eventDate: 22 December 2013; habitat: Karst forest; Record Level: collectionID: PNKB-NXN181; institutionCode: IEBR; collectionCode: RodentiaDVZ-Type status:Other material. Occurrence: recordedBy: Nghia Xuan Nguyen; individualCount: 1; sex: Male; Location: country: Vietnam; stateProvince: Quang Binh; verbatimLocality: Thuong Hoa Commune, Minh Hoa District; verbatimElevation: 200-350m; verbatimLatitude: 17\u00b040\u201907\u2019'N; verbatimLongitude: 105\u00b056\u201906\u2019\u2019E; Event: samplingProtocol: trapping; eventDate: 12 April 2014; habitat: Karst forest; Record Level: collectionID: PNKB-NXN219; institutionCode: IEBR; collectionCode: RodentiaDVZ-Type status:Other material. Occurrence: recordedBy: Nghia Xuan Nguyen; individualCount: 1; sex: Female; Location: country: Vietnam; stateProvince: Quang Binh; verbatimLocality: Thuong Hoa Commune, Minh Hoa District; verbatimElevation: 200-350m; verbatimLatitude: 17\u00b040\u201927\u2019'N; verbatimLongitude: 105\u00b055\u201905\u2019\u2019E; Event: samplingProtocol: trapping; eventDate: 15 April 2014; habitat: Karst forest; Record Level: collectionID: Released to the wildType status:Other material. Occurrence: recordedBy: Nghia Xuan Nguyen; individualCount: 1; sex: Female; Location: country: Vietnam; stateProvince: Quang Binh; verbatimLocality: Thuong Hoa Commune, Minh Hoa District; verbatimElevation: 200-350m; verbatimLatitude: 17\u00b040\u201903\u2019'N; verbatimLongitude: 105\u00b056\u201927\u2019\u2019E; Event: samplingProtocol: trapping; eventDate: 15 April 2014; habitat: Karst forest; Record Level: collectionID: PNKB-NXN223; institutionCode: IEBR; collectionCode: RodentiaDVZ-Type status:Other material. Occurrence: recordedBy: Nghia Xuan Nguyen; individualCount: 1; sex: Female; Location: country: Vietnam; stateProvince: Quang Binh; verbatimLocality: Thuong Hoa Commune, Minh Hoa District; verbatimElevation: 200-350m; verbatimLatitude: 17\u00b040\u201903\u2019'N; verbatimLongitude: 105\u00b056\u201927\u2019\u2019E; Event: samplingProtocol: trapping; eventDate: 18 April 2014; habitat: Karst forest; Record Level: collectionID: PNKB-NXN224; institutionCode: IEBR; collectionCode: RodentiaDVZ-Type status:Other material. Occurrence: recordedBy: Nghia Xuan Nguyen; individualCount: 1; sex: Female; Location: country: Vietnam; stateProvince: Quang Binh; verbatimLocality: Thuong Hoa Commune, Minh Hoa District; verbatimElevation: 200-350m; verbatimLatitude: 17\u00b040\u201939\u2019'N; verbatimLongitude: 105\u00b057\u201934\u2019\u2019E; Event: samplingProtocol: trapping; eventDate: 5 May 2014; habitat: Karst forest; Record Level: collectionID: PNKB-NXN225; institutionCode: IEBR; collectionCode: RodentiaDVZ-Type status:Other material. Occurrence: recordedBy: Nghia Xuan Nguyen; individualCount: 1; sex: Male; Location: country: Vietnam; stateProvince: Quang Binh; verbatimLocality: Thuong Hoa Commune, Minh Hoa District; verbatimElevation: 200-350m; verbatimLatitude: 17\u00b041\u201913\u2019'N; verbatimLongitude: 105\u00b053\u201951\u2019\u2019E; Event: samplingProtocol: trapping; eventDate: 27 June 2014; habitat: Karst forest; Record Level: collectionID: PNKB-NXN230; institutionCode: IEBR; collectionCode: RodentiaDVZ-Fig. 1Fig. 217\u00b040'28\u201dN; 105\u00b055'05\"E). This low trapping success can be explained by very low density of the Laotian Rock Rat in the survey area and because of dry season weather. As reported by local villagers, small mammal trapping success is always very low in dry season (from January to June). The live animal was released into the wild after taking its body measurements and monitoring it for a few days in semi-wild conditions. In total, during the period from the first reports of the Laotian Rock Rat in PNKB NP in September 2011 to October 2014, we collected 12 specimens of the species and checked coordinates of all these localities for the species distribution mapping. The distribution map of the Laotian Rock Rat was established based on data from the village interview surveys comprising 35 localities reported by villagers and 12 localities confirmed by our field surveys. The map showed that the distributional range of the Laotian Rock Rat in PNKB NP area covered about 150 km2 of limestone evergreen forests belonging to five communes of Minh Hoa District, Quang Binh Province , Hoa Son commune and Dan Hoa commune , Dracontomelonduperreanum (Anacardiaceae), Toonasurenii (Meliaceae), Paviesiaanamensis (Sapindaceae), Pterospermumgrewiaefolium (Sterculiaceae), Mahuca sp., Hopea sp., Streblusasper (Moraceae), Litsea sp. (Lauraceae), Sumbaviopsismacrophylla (Euphorbiaceae), Actinodaphne sp. (Lauraceae), Pometiachinensis (Sapindaceae), Choerospondiasaxillaris (Anacardiaceae), Alangiumridleyi (Alangiaceae), Knema sp. (Myristicaceae); etc.The canopy tree layer consists of trees 20-25 m high with stem diameter 0.5-0.8 m. The most common trees species are: Knemacorticosa (Myristicaceae); Streblustonkinensis, Streblusasper (Moraceae), Xylopiavielana (Annonaceae), Diospyros sp. (Ebenaceae), Caryotamitis (Arecaceae), Arengapinnata (Arecaceae), Camelia sp. (Theaceae), Actinodaphne sp. (Lauraceae), Pterospermum sp. (Sterculiaceae), Litsea sp.(Lauraceae), Ormosialaoensis (Fabaceae), Nepheliumlappaceum (Sapindaceae), Sumbaviopsismacrophylla (Euphorbiaceae), Paranepheliumspirei (Sapindaceae), Alangiumridleyi (Alangiaceae), Baccaurea sp. (Euphorbiaceae), Aglaia sp. (Meliaceae), etc.The middle tree layer consists of trees 10-15 m high with stem diameter of 0.3-0.5 m. The most common species are Euphorbiaceae, Theaceae, Myrtaceae and Verbenaceae. Some dominant species are Antidesma sp. (Euphorbiaceae), Trevesiapanmalta , Litseavaliabilis (Lauraceae), Arengapinnata (Arecaceae), Excoecariacochinchinensis (Euphorbiaceae), as well as seedlings of trees from higher layers.The scrub layer consists of trees 3-7 m high, mostly with twisted stems, many branches, and several stems rising from one base. The most common species are from the families Araceae, the genera Calamus and Caryota (family Arecaceae), and many herb species from various families . Some of the most common species are Homalomenaocculta (Araceae), Aglaonemasimplex (Araceae), Aglaonemasiamensis (Araceae), Taccachantrieri (Taccaceae), Aspidistratypica , Piper sp. (Piperaceae), Corymborkisveratrifolia (Orchidaeceae), etc.The herb and fern layer is about 0.5-3 m high, with trees of 0.2-3 m high from family Local villagers reported that the Laotian Rock Rat feeds exclusively on plant parts of various plant species. Stomach content analysis, examination of food remains dropped in dens, and observation of a live Laotian Rock Rat in semi-wild conditions showed that the species feeds mostly on plant parts, but also some insects, as follows:Aglaonemasimplex (Araceae), Streblusasper (Moraceae), Dracontomelonduperreamum (Anacardiaceae), Pometiachinensis (Sapindaceae), Ficus sp. (Moraceae), Acanthopanaxtrifoliatus , Perillafrutescens (Lamiaceae), Psidiumguajava (Myrtaceae), Zeamays (Poaceae), Prunuspersica (Rosaceae)Young leaves and buds of Streblusasper (Moraceae), Ficus sp. (Moraceae), Dracontomelonduperreamum (Anacardiaceae), Alangiumridleyi (Alangiaceae), Lythocarpusfenestratus (Fagaceae), Musaparadisiaca, Musauranoscapos (Musaceae)Ripe fruits of Zeamays (Poaceae)Seeds of Manihotesculenta (Euphorbiaceae) and Aglaonemasimplex (Araceae)Roots of Cicadidae), Mantis (Mantidae), Grasshopper (Acrididae)Insects: Cicada (2) and located close to the villages of ethnic minorities . These minority groups are very poor and their livelihood depends on wildlife and forest products. Wildlife hunting is a long tradition of the local people, and a practice that remains extensive currently. Most men 15 to 60 years in age in these villages are engaged in wildlife hunting. Their hunting season lasts about eight months per year (from July to February). The most widely used means for trapping the Laotian Rock Rat and other small animals is a metal spring snare, which has a high trapping success and can trap animals of various body size, such as rats, civets, large birds, and snakes. Snap traps are also used because they are easily made in the forest from bamboo and small trees. Each hunter usually keeps 30-100 active snares in forests; some hunters keep up to 300-500 active snares. It is estimated that 30-35 specimens of the Laotian Rock Rat are trapped by local villagers each year in the survey area. Other threats to the natural habitat of the Laotian Rock Rat include forest clearance for agricultural fields, removal of timber trees, collecting firewood and other forest products that lead to degradation of forest quality, and habitat modification. At present, no specific conservation measures are being undertaken aside from awareness education for local villagers.The distribution range of the Laotian Rock Rat in PNKB NP is very small of Lao. It is expected that this area harbors the Laotian Rock Rat, but no surveys on rodents in this area were carried out.The confirmed distribution of the Laotian Rock Rat population in PNKB NP comprises roughly 150 km2. The species was most abundant in Phou Hin Boun NBCA, while in two nearby limestone areas (Nam Kading NBCA to the north and Hin Namno NBCA to the east) there are no reports of the species. The distribution of the Laotian Rock Rat in PNKB NP, Vietnam is small and far away from Phou Hin Boun NBCA as well as the species distribution range in Khammuoane province. This implies that the population of the Laotian Rock Rat in PNKB NP may be genetically isolated from other populations in Lao and conservation measures for the Vietnamese population should be of high priority and urgency.In Lao, HabitatPNKB NP is located along the eastern slope of the Great Annamite Range which has a wetter climate. The forest habitat of PNKB NP is characterized by dense moist evergreen forest with different types such as evergreen forest on limestone above 700 m asl, montane evergreen forest on hills above 700 m asl, evergreen forest on limestone under 700 m asl, evergreen forest on hills under 700 m asl, degraded evergreen forest on hills, tree and scrub savanna on limestone, tree and scrub savanna on hills, agricultural land, and plantations and other land uses . HoweverThreats and conservationDiatomyidae that was formerly believed to have been extinct for more than 11 million years (Conservation of the Laotian Rock Rat is a high priority not only because the species is the only surviving member of the otherwise extinct family on years but alsoon years and in ton years for cons"}
+{"text": "Scientific Reports5: Article number: 9847; 10.1038/srep09847 published online: 06032015; updated: 12182015.The original version of this Article contained a typographical error in the spelling of the author Yeon-Gil Kim which was incorrectly given as Yeun Gil Kim.This has now been corrected in the PDF and HTML versions of the Article."}
+{"text": "Scientific Reports5 Article number: 10179; 10.1038/srep10179 published online: 07102015; updated: 12182015.The original version of this Article contained an error in the spelling of the author Wen-cai Ye, which was incorrectly given as Ye Wencai.This has now been corrected in the PDF and HTML versions of the Article."}
+{"text": "Scientific Reports5: Article number: 17487; 10.1038/srep17487 published online: 12032015; updated: 02172016.The original version of this Article contained a typographical error in the spelling of the author Corrado Corradi-Dell\u2019Acqua which was incorrectly given as Corrado Corradi-Dell\u2019 Acqua. This error has been corrected in both the PDF and HTML versions of the paper."}
+{"text": "Scientific Reports6: Article number: 25763; 10.1038/srep25763published online: 05102016; updated: 08252016In the original version of this Article, Affiliation 1 was incomplete. The correct affiliation is listed below:State Key Laboratory of Microbial Metabolism and School of Life Sciences and Biotechnology, Shanghai Jiao Tong University, Shanghai 200240, China.This error has now been corrected in the PDF and HTML versions of the Article."}
+{"text": "Scientific Reports1: Article number: 18510.1038/srep00185; published online: 12072011; updated: 09182015The original version of this Article contained a typographical error in the spelling of the author Lesego Busang which was incorrectly given as Lesogo Busang. This has now been corrected in the PDF and HTML versions of the Article."}
+{"text": "Scientific Reports5: Article number: 1291410.1038/srep12914; published online: 09032015; updated: 09302015The original version of this Article contained a typographical error in the spelling of the author Xavier Rocquefelte, which was incorrectly given as Xavier Rocquelfelte. In addition, Affiliation 2 was omitted for this author. These errors have now been corrected in both the PDF and HTML versions of the Article."}
+{"text": "The following information is missing from the Funding section: The study also used resources from the Department of Pathology/Comparative Medicine, Wake Forest University Health Science which were supported by NIH grant RR019963/OD010965 (PI: Jay R. Kaplan)."}
+{"text": "Scientific Reports6: Article number: 18970; 10.1038/srep18970published online: 01062016; updated: 03042016The original version of this Article contained a typographical error in the spelling of the author Bharati Tudu, which was incorrectly given as Bahrati Tudu. This has now been corrected in the PDF and HTML versions of the Article."}
+{"text": "Nature Communications7: Article number: 11521 10.1038/ncomms11521 (2016); Published: 0592016; Updated: 06072016The HTML version of this Correspondence was previously published with an incomplete title. This has now been corrected in the HTML; the PDF version of the paper was correct from the time of publication."}
+{"text": "There are errors in the Author Contributions. The correct contributions are: Conceived and designed the device: DMassai GC GI DG UM. Conceived and performed the computational multiphysics modeling: GI DMassai UM DG. Conceived and performed the biological tests: DMadeddu AF CF FQ DMassai GC. Analyzed the computational multiphysics modeling data: GI DMassai UM DG MAD. Analyzed the biological data: DMadeddu CF AF FQ. Contributed reagents/materials/analysis tools: FQ AA GFDL UM. Conceived and wrote the manuscript: DMassai GI UM DMadeddu FQ. The publisher apologizes for the errors."}
+{"text": "Scientific Reports6: Article number: 21413;10.1038/srep21413 Published online 02252016; Updated: 05092016A marked-up version of the Supplementary Information was inadvertently published with the original version of this Article. In addition, Supplementary Software 1 was omitted. These errors have now been corrected."}
+{"text": "In November 2013, CEGMR continued its leading role in genomics and organized its 2nd IGMC. The conference was well received and attended by 505 international and national participants. Among the international participants was Professor Erwin Neher, a Nobel laureate with Bert Sakmann in 1991 in Physiology or Medicine, who gave the keynote talk on the first day of the conference on his discovery of \u201cThe function of single ion channels in cells\u201d with notes on their function and role in disease. His presence and talk was an excellent opportunity for junior and senior national researchers in Saudi Arabia to meet and learn from a scientific pioneer.Centre of Excellence in Genomic Medicine Research , is a lend IGMC scientific committee led by Dr Muhammad Abu-Elmagd worked tirelessly hard and managed, for the first time ever for the conference, to publish 98 IGMC abstracts and more than 24 peer-reviewed full articles in two separate special supplements in a high impact factor (IF) journal in the field, the BMC Genomics (IF: 4.04) [The 2nd IGMC program, Table . Abstracts of all oral presentations are now published in BMC Genomics special supplement [Oral presentation sessions started with a talk given by Dr Abdulaziz Al-Swailem from KCAST who elaborated on Saudi national science, technology and innovation plans towards knowledge based economy. After Dr Al-Swailem\u2019s presentation, the conference participants enjoyed attending a series of 17 two days excellent talks presented by Thomson Reuters\u2019s ranked highly distinguished scientists who came from various institutions around the globe to deliver presentations in different topics. The latter mainly covered five genomics and genomic-related areas including oncogenomics, genomics and environment interactions, systems biology and computational genomics, immunogenomics, and omics of cell signalling and reproductive biology , where we not only enjoyed tasty and spicy Saudi food, but also had a chance to inspect his remarkable facility for keeping desert wildlife.''APC: Adenomatous Polyposis Coli; BMC: BioMed Central; CEGMR: Center of Excellence in Genomic Medicine Research; ChIP-Seq: Chromatin Immuno-precipitation Sequencing; CIPM: Centre of Innovation in Personalized Medicine; CMV: Cytomegalovirus; CRC: Colorectal Cancer; ENCODE: Encyclopedia of DNA Elements; IF: Impact Factor; IGB: Integrated Gulf Biosystem; IGMC: International Genomic Medicine Conference; KAU: King Abdulaziz University; KACST: King Abdulaziz City for Science and Technology; KIFs: Kinesin superfamily proteins; Kras: Kirsten rat sarcoma viral oncogene homolog; KSA: Kingdom of Saudi Arabia; MOH: Ministry Of Higher Education; MTNR1B: Melatonin Receptor 1B; STSs: Sequence-Tagged SitesThe authors disclose no competing interests."}
+{"text": "Scientific Reports5: Article number: 1420010.1038/srep14200; published online: 09232015; updated: 02042016In this Article, an additional affiliation for Qian Liu and Xinyi Zhu was omitted. The correct affiliation is listed below:University of Chinese Academy of Sciences, Beijing 100101, China"}
+{"text": "The correct listing for corresponding author contact information in the PDF should be: *Email: licy_60@163.com (CYL); liuqiyong@icdc.cn (QYL).The email address for one of the corresponding authors, Cheng-Yi Li, is listed incorrectly. The correct email address should be"}
+{"text": "The correct name is: Bertrand Raynal. The correct citation is: Alexandre T, Raynal B, Munier-Lehmann H (2015) Two Classes of Bacterial IMPDHs according to Their Quaternary Structures and Catalytic Properties. PLoS ONE 10(2): e0116578. doi: There is an error in the Author Contributions. The correct contributions are: Conceived and designed the experiments: HML. Performed the experiments: TA BR HML. Analyzed the data: TA BR HML. Contributed reagents/materials/analysis tools: BR HML. Wrote the paper: BR HML."}
+{"text": "Nature Communications7: Article number: 1146310.1038/ncomms11463 (2016); Published: 05102016; Updated: 08042016.The source of reagents for this Article was not fully acknowledged. The Acknowledgements should have included the following:https://www.cellhub.org) for patient fibroblasts.'\u2018We thank Professors Robin Goland and Dieter Egli ("}
+{"text": "Scientific Reports5: Article number: 984610.1038/srep09846; published online: 04202015; updated: 10052015This Article contains an error in the affiliation of Daesung Yoon. The correct affiliation is listed below:Department of Bio-convergence Engineering, Korea University, Seoul, Korea"}
+{"text": "Nature Communications 7: Article numbber:1069910.1038/ncomms10699 (2015); Published: 03072016; Updated: 07192016.Technical support for this Article was not fully acknowledged. The Acknowledgements should have included the following: We are also grateful to Dr Alexei Barinov for his kind help during our beamtime at the spectramicroscopy beamline of the Elettra synchrotron."}
+{"text": "In a Belgian pilot study honey bee wax combs from ten hives were analyzed on the presence of almost 300 organochlorine and organophosphorous compounds by LC\u2013MS/MS and GC\u2013MS/MS. Traces of 18 pesticides were found and not a single sample was free of residues. The number of residues found per sample ranged from 3 to 13, and the pesticides found could be categorized as (1) pesticides for solely apicultural (veterinary) application, (2) pesticides for solely agricultural (crop protection) application, (3) pesticides for mixed agricultural and apicultural (veterinary) application. The frequencies and quantities of some environmental pollutants bear us high concerns. Most alarming was the detection of lindane (gamma-HCH) and dichlorodiphenyltrichloroethane (including its breakdown product dichlorodiphenyldichloroethylene), two insecticides that are banned in Europe. The present comprehensive residue analysis, however, also reveals residues of pesticides never found in beeswax before, i.e. DEET, propargite and bromophos. Varroa destructor with synthetic chemicals, like pyrethroid and organophosphate acaricides, naturally occurring organic acids and essential oils [Regulation (EC) No 396/2005]. Although the contamination of honey is widely documented in the scientific literature . It should allow us to narrow the scope of future nationwide surveys.During hive control in spring 2012, wax combs were sampled from ten honey bee hives at apiaries located in Flanders at Heist-op-den-Berg (six samples), Leuven (three samples) and Ghent (one sample). As at least 100\u00a0g beeswax was required for the multiresidue analysis, we took two empty wax combs from each hive. The sampled bee colonies seemed healthy, with no clinical signs of infectious diseases or acute intoxication.The beeswax was analyzed on the presence of 293 organochlorine and organophosphorous compounds at Intertek Food Services GmbH according to the European EN 15662 method CEN . The pesThe LC\u2013MS/MS procedure enables to determine the following agents: Abamectin; Acetamiprid; Aldicarb; Aldicarb sulfone; Aldicarb sulfoxide; Amitraz; Azoxystrobin; Benalaxyl; Bitertanol; Boscalid; Bromacil; Bromuconazole; Bupirimate; Buprofezin; Cadusafos; Carbaryl; Carbendazim; Carbofuran; Carbofuran (3-Hydroxy-); Chloroxuron; Clofentezine; Clomazone; Clothianidin; Cymiazole; Cyproconazole; Cyprodinil; Demeton-S-methyl; Demeton-S-methyl; Diethofencarb; Diethyltoluamid (DEET); Difenoconazole; Diflubenzuron; Dimethoate; Dimethomorph; Dimoxystrobin; Diniconazole; Diphenylamine; Disulfoton; Disulfoton-PS-sulfone; Disulfoton-PS-sulfoxide; Ditalimfos; Diuron; Dodine; EPN; Epoxiconazole; Ethiofencarb; Ethoprophos; Ethoxyquin; Famoxadone; Fenamiphos; Fenarimol; Fenazaquin; Fenbuconazole; Fenhexamid; Fenoxycarb; Fenpropimorph; Fenpyroximate; Fenthion; Fenthion-oxon; Fenthion-PO-sulfone; Fenthion-PS-sulfone; Fenthion-sulfoxide; Fluazifop-P-butyl; Fluazinam; Fludioxonil; Flufenoxuron; Fluquinconazole; Flusilazole; Fonofos; Hexaconazole; Hexythiazox; Imazalil; Imidacloprid; Indoxacarb; Iprovalicarb; Isofenphos; Isofenphos-methyl; Isoproturon; Kresoxim-methyl; Linuron; Lufenuron; Malaoxon; Malathion; Mecarbam; Mepanipyrim; Mepronil; Metalaxyl; Metamitron; Metazachlor; Methiocarb; Methiocarb; Methiocarb; Methomyl; Methoxyfenozide; Metobromuron; Metolcarb; Metribuzin; Monolinuron; Myclobutanil; Nitenpyram; Nuarimol; Omethoate; Oxadixyl; Oxamyl; Oxydemeton-methyl; Penconazole; Pencycuron; Pirimicarb; Pirimicarb (Desmethyl-); Prochloraz; Propamocarb; Propargite; Propiconazole; Propoxur; Propyzamide; Pymetrozine; Pyraclostrobin; Pyridaben; Pyridaphenthion; Pyrifenox; Pyrimethanil; Pyriproxyfen; Quinoxyfen; Rotenone; Spinosad; Spirodiclofen; Spiromesifen; Spiroxamine; Tebuconazole; Tebufenozide; Tebufenpyrad; Teflubenzuron; Terbutylazine; Tetraconazole; Thiabendazole; Thiacloprid; Thiametoxam; Thiodicarb; Thiophanate-methyl; Triadimefon; Triadimenol; Trichlorfon; Trifloxystrobin; Triflumizole; Triforine.The GC\u2013MS/MS procedure enables to determine the following agents: Aclonifen; Acrinathin; Alachlor; Aldrin; Benfluralin; Bifenthrin; Binapacryl; Bromophos (-methyl); Bromophos-ethyl; Bromopropylate; Captan; Carbophenothion; Chlordane ; Chlordane (Oxy); Chlordane ; Chlorfenapyr; Chlorfenson; Chlormephos; Chlorobenzilate; Chloroneb; Chloropropylate; Chlorothalonil; Chlorpropham; Chlorpyrifos (-ethyl); Chlorpyrifos-methyl; Chlorthal-dimethyl; Chlorthion; Chlorthiophos; Chlozolinate; Coumaphos; Cyanofenphos; Cyanophos; Cyfluthrin; Cyhalothrin (lambda-); Cypermethrin; DDD ; DDD ; DDE ; DDE ; DDT ; DDT ; Deltamethrin; Diazinon; Dichlobenil; Dichlofenthion; Dichlofluanid; Dicloran; Dicofol; Dieldrin; Endosulfan ; Endosulfan (beta-); Endosulfan-sulfat; Endrin; Esfenvalerate; Ethion; Etofenprox; Etridiazole; Etrimfos; Famphur; Fenchlorphos; Fenitrothion; Fenpropathrin; Fenson; Fensulfothion; Fenvalerate; Fluchloralin; Flucythrinate; Fluvalinate,; Folpet; Formothion; Halfenprox; HCH ; HCH (beta-); HCH (delta-); Heptachlor; Heptachlor epoxide ; Heptachlor epoxide ; Heptenophos; Hexachlorobenzene (HCB); Hexaflumuron; Iodofenphos; Iprobenfos; Iprodione; Isazofos; Isocarbofos; Isodrin; Isoxathion; Leptophos; Lindane (gamma-HCH); Methacrifos; Methidathion; Methoxychlor; Mevinphos; Mirex; Monocrotophos; Nitrapyrin; Nitrofen; o-Phenylphenol; Paraoxon-ethyl; Paraoxon-methyl; Parathion-ethyl; Parathion-methyl; Pendimethalin; Pentachloroaniline; Pentachloroanisole; Permethrin; Phenthoate; Phorate; Phorate-sulfone; Phosalone; Phosmet; Phosphamidon; Piperonyl butoxide; Pirimiphos-ethyl; Pirimiphos-methyl; Procymidone; Profenofos; Profluralin; Propetamphos; Prothiophos; Pyrazophos; Quinalphos; Quintozene; S 421 (octachlorodipropyl ether); Sulfotep; Sulprofos; Tecnazene; Tefluthrin; Terbufos; Tetrachlorvinphos; Tetramethrin; Tetradifon; Tetrasul; Thionazin; Tolclofos-methyl; Tolylfluanid; Triallate; Triazophos; Trichloronat; Trifluralin; Vinclozolin.Both procedures enables to determine the following agents: Acephate; Azinphos-ethyl; Azinphos-methyl; Chlorfenvinphos; Dichlorvos; Fipronil; Methamidophos.Traces of 18 pesticide residues were found in the beeswax samples and not a single sample was free from pesticide residues and Perizin . However, illegal sales of prescription drugs or the use of home-made preparations based on the agrochemical formulations cannot be excluded.Amitraz was found in two out of ten samples and could originate from both apicultural and agricultural applications in the past. Both applications are presently no longer allowed in Belgium. Since this acaricide was proven to be unstable in beeswax and honey with no MRL required in food from these animals [Commission Regulation (EU) No 37/2010]. In theory piperonyl butoxide could be allowed to be used in beekeeping upon prescription of a veterinarian under \u2018cascade\u2019. The use of this pesticide in beekeeping cannot be excluded: it is sometimes used in insect and bee repellents which are on the market for use in beekeeping and some authors claim that piperonyl butoxide is enhancing the toxicity of fluvalinate to control All other found pesticides originate from a pollution of outside the beehive and their frequencies and quantities bear us high concerns. We have found several fungicides and crop protection agents that are highly toxic for honey bees Table\u00a0. All of Just like two other Belgian studies we failed to find traces of neonicotinoids in beeswax (Nguyen et al. Worker bees of all ages are susceptible to the effects of pesticide exposure (Rortais et al. Given the contamination of beeswax one may consider to take actions in the field, aimed at lowering the pesticide contamination of beeswax in Belgian apiaries, as stated also before in other countries (Pettis et al."}
+{"text": "Nature Communications7, Article number: 11290 10.1038/ncomms11290 (2016); Published: 04122016; Updated: 05062016The original version of this Article contained an error in the spelling of the author Mark Hatherill, which was incorrectly given as Mark Hatheril. This has now been corrected in both the PDF and HTML versions of the Article."}
+{"text": "Scientific Reports5: Article number: 9813; 10.1038/srep09813 published online: 05112015; updated: 03042016.The Acknowledgements section was omitted from the Article. It should read:AcknowledgementsThis work was supported by the Center for Nanoscale Science, an NSF Materials Research Science and Engineering Center, under the award DMR-1420620."}
+{"text": "There are errors in the Author Contributions. The correct contributions are:Conceived and designed the experiments: RKF MAG LAD-M RK AMVCS. Performed the experiments: RKF TFB DRR HAB. Analyzed the data: RKF MAG RK. Contributed reagents/materials/analysis tools: RK AMVCS. Wrote the paper: RKF AMVCS RK. Software used in analysis: MAG."}
+{"text": "It should be corrected as follows:incorrect: November 26, 2013correct: December 13, 2013This correction has been completed on the electronic file of the present paper available at J-STAGE.The editorial board expresses sincere apology for the misprinting.Microbes and Environments editorial board"}
+{"text": "Nature Communications7: Article number: 11106 10.1038/ncomms11106 (2016); Published: 04262016; Updated: 06032016The original version of this Article contained an error in the spelling of the author Milka Koupenova, which was incorrectly given as Milka Koupenova-Zamor. This has now been corrected in both the PDF and HTML versions of the Article."}
+{"text": "The authors would like to correct an error in the Author Contribution section. Jeffery L. Dangl (JLD) should be listed as one of the persons who wrote the paper.The correct author contributions are:Conceived and designed the experiments: GFW JJ JLD GJ PJBK. Performed the experiments: GFW JJ FEK. Analyzed the data: GFW JJ FEK GJ PJBK. Contributed reagents/materials/analysis tools: GFW PJBK. Wrote the paper: GFW FEK JLD PJBK."}
+{"text": "Scientific Reports5: Article number: 14557; 10.1038/srep14557published online 09282015; updated: 10292015The original HTML version of this Article incorrectly listed Ameeta Kelekar as being affiliated with \u2018College of Biological Sciences, University of Minnesota, Minneapolis, MN 55455\u2019. The correct affiliation is listed below:Department of Laboratory Medicine and Pathology and Masonic Cancer Center, University of Minnesota, Minneapolis, MN 55455.This has now been corrected."}
+{"text": "BMC Medicine 2015, 13:111 indicating the correct name for one of the authors.This is an Erratum to http://www.biomedcentral.com/1741-7015/13/111Please see related article: Authors\u2019 corrected note:Jan NM IJzermans last name was incorrectly spelled in the author list and was indicated as Jan NM IJermans in our published article . The errCorrected text:Jan NM IJzermans"}
+{"text": "Scientific Reports6: Article number: 22867 10.1038/srep22867; published online: 03112016; updated: 04222016The original version of this Article contained a typographical error in the spelling of the author Yves De Repentigny, which was incorrectly given as Yves De Repentingy. This has now been corrected in the PDF and HTML versions of the Article."}
+{"text": "Scientific Reports6: Article number: 22020; 10.1038/srep22020 Published online: 02252016; Updated: 04072016The original version of this Article contained a typographical error in the spelling of the author Ariane Kaeppeli, which was incorrectly given as Ariane Kaeppli. This has now been corrected in the PDF and HTML versions of the Article."}
+{"text": "Scientific Reports5: Article number: 1346510.1038/srep13465; published online: 08272015; updated: 10162015In the Supplementary Information file originally published with this Article, Table S15 was truncated. This error has been corrected in the Supplementary Information that now accompanies the Article."}
+{"text": "There are errors in the Author Contributions. The correct contributions are: Conceived and designed the experiments: RT TCB. Performed the experiments: GPM TCB. Contributed reagents/materials/analysis tools: JRD TCB. Wrote the manuscript: TCB GPM.The publisher apologizes for the error."}
+{"text": "Scientific Reports5: Article number: 937810.1038/srep09378; published online: 03232015; updated: 03312016This Article contains an error in Figure 3, where the numbers of genes are incorrectly indicated in the 24-hour and 48-hour sections. The correct Figure 3 appears below as"}
+{"text": "Scientific Reports5: Article number: 16953; 10.1038/srep16953 published online: 11202015; updated: 04152016.In this Article, an additional affiliation for Keith L. March was omitted. The correct affiliation is listed below:Krannert Institute of Cardiology and the Indianapolis VA Center for regenerative medicine"}
+{"text": "Scientific Reports6: Article number: 2898710.1038/srep28987; published online: 07072016; updated: 08242016The original version of this Article contained a typographical error in the spelling of the author Gerald Fontenay, which was incorrectly given as Gerald Fonteney. This has now been corrected in the PDF and HTML versions of the Article."}
+{"text": "Nature Communications6: Article number: 866710.1038/ncomms9667 (2015); Published: 10202015; Updated: 11172015.The original version of this Article contained an error in the spelling of isomerism in the title of the paper. This has now been corrected in both the PDF and HTML versions of the Article."}
+{"text": "AbstractMacrotrachelianigronitens (Heteroptera: Anthocoridae) is permanently present in the wild in Auckland (AK), New Zealand. It should therefore be added to the New Zealand Organisms Register (NZOR). It is a specialised predator of thrips inside leaf-roll galls. It has been present in New Zealand since at least the 1980s. Aspects of its biology, distribution, biosecurity status and history in New Zealand are discussed. The first detailed specimen records from New Zealand are provided, and a biological association is noted for the first time with Teuchothripsdisjunctus on Callistemon, probably its main association in New Zealand, where only two species of thrips cause leaf-roll galls. It has not been found associated with other thrips in New Zealand. Macrotrachelianigronitens is not known to be present in Australia, but the poorly known Anthocorisaustropiceus Gross, 1954 has been reported, in an easily overlooked publication, to be associated with Teuchothripsdisjunctus on Callistemon in Canberra. This led to an early tentative identification, by the author, of New Zealand material of Macrotrachelianigronitens as Anthocorisaustropiceus, in collections. This likely misidentification can now be discounted, but further research in Australia is required to determine the true identity of both Anthocorisaustropiceus, and whatever species of anthocorid was found in Canberra. Macrotrachelianigronitens has recently been submitted by Bioforce Limited to the Environmental Protection Authority (EPA) to have Macrotrachelianigronitens declared as \"not new\", so that it can be legally propagated and/or distributed for the purposes of biological control of pest thrips. In fact, it shall be argued herein that Macrotrachelianigronitens ought never to have been classified as a \"new organism\" (under the Hazardous Substances and New Organisms (HSNO) Act = not present in New Zealand before 29 July 1998) in the first place, had its biosecurity status been properly assessed. An AMNZ record from 1997 is presented, and an even earlier record from the 1980s is indicated to be held in NZAC. Notes are provided on the biology, distribution and history in New Zealand of Macrotrachelianigronitens.ns St\u00e5l, 860 https://species.wikimedia.org/wiki/Macrotrachelia_nigronitensAnthocorisnigronitens St\u00e5l, 1860: 43 [Original description]Type status:Other material. Occurrence: recordedBy: Keith A. J. Wise; individualCount: 1; sex: female; Taxon: scientificName: Macrotrachelianigronitens ; Location: country: New Zealand; stateProvince: Auckland (AK); verbatimLocality: 15 Kingdale Road, Henderson, New Zealand, AK; verbatimElevation: 10 m; decimalLatitude: -36.86036; decimalLongitude: 174.62549; coordinateUncertaintyInMeters: 32; Identification: identifiedBy: Stephen E. Thorpe; Event: samplingProtocol: Swept; eventDate: 1997-05-09; habitat: Garden; fieldNumber: L5751; Record Level: institutionCode: Auckland Museum; collectionCode: AMNZ 59842Type status:Other material. Occurrence: recordedBy: G. Robertson; individualCount: 3; sex: females; Taxon: scientificName: Macrotrachelianigronitens ; Location: country: New Zealand; stateProvince: Auckland (AK); verbatimLocality: Auckland Regional Botanic Gardens, Manurewa, New Zealand, AK; verbatimElevation: 40m; decimalLatitude: -37.00879; decimalLongitude: 174.90646; coordinateUncertaintyInMeters: 570; Identification: identifiedBy: Stephen E. Thorpe; Event: eventDate: 2005-08; habitat: Callistemon sp. infested with Teuchothripsdisjunctus (Hood)In leaf-roll galls on ; fieldNumber: L14594; Record Level: institutionCode: Auckland Museum; collectionCode: AMNZ 73644, 73645, 73646Type status:Other material. Occurrence: recordedBy: John W. Early; individualCount: 5; sex: 3 females, 2 immatures; Taxon: scientificName: Macrotrachelianigronitens ; Location: country: New Zealand; stateProvince: Auckland (AK); verbatimLocality: Auckland Airport, Mangere, New Zealand, AK; decimalLatitude: -37.00019; decimalLongitude: 174.79505; coordinateUncertaintyInMeters: 400; Identification: identifiedBy: Stephen E. Thorpe; Event: eventDate: 2011-04-17; habitat: Gynaikothripsficorum in rolled leaves of FicusmicrocarpaWith ; fieldNumber: L19131; Record Level: institutionCode: Auckland Museum; collectionCode: AMNZ 85334 (immature), 85335 (immature), 85336 , 85337 , 85338 Type status:Other material. Occurrence: recordedBy: Stephen E. Thorpe; individualCount: 1; sex: male; Taxon: scientificName: Macrotrachelianigronitens ; Location: country: New Zealand; stateProvince: Auckland (AK); verbatimLocality: 25 Felton Mathew Ave, suburb of Saint Johns, New Zealand, AK; verbatimLatitude: -36.87246; verbatimLongitude: 174.84731; coordinateUncertaintyInMeters: 5; Identification: identifiedBy: Stephen E. Thorpe; Event: eventDate: 2014-03-01; habitat: Callistemon sp. In leaf-roll galls of TeuchothripsdisjunctusOn ; fieldNumber: L17240; Record Level: institutionCode: Auckland Museum; collectionCode: AMNZ 87996Type status:Other material. Occurrence: recordedBy: Stephen E. Thorpe; individualCount: 1; sex: male; Taxon: scientificName: Macrotrachelianigronitens ; Location: country: New Zealand; stateProvince: Auckland (AK); verbatimLocality: 2 Farringdon Street, suburb of Glen Innes, New Zealand, AK; verbatimLatitude: -36.87164; verbatimLongitude: 174.85883; coordinateUncertaintyInMeters: 0; Identification: identifiedBy: Stephen E. Thorpe; Event: eventDate: 2014-03-02; habitat: Callistemon sp., growing over fence into Paddington Reserve. In leaf-roll gall of TeuchothripsdisjunctusOn ; fieldNumber: EN17241; Record Level: institutionCode: Auckland Museum; collectionCode: AMNZ 87997Macrotrachelianigronitens is present in at least the vicinity of Auckland City and suburbs (AK). The genus Macrotrachelia consists of 6 currently recognised Central American species, with only Macrotrachelianigronitens extending into South America , and possibly also adventive in California are responsible for such galls in New Zealand, both of them adventive. One is Gynaikothripsficorum on Ficusmicrocarpa (Moraceae). The other is Teuchothripsdisjunctus on Callistemon (Myrtaceae). Ficusmicrocarpa is rare in New Zealand, present only in cultivation as an ornamental. Callistemon is far more common, and probably represents the main habitat of Macrotrachelianigronitens in New Zealand. Note that Gynaikothripsficorum in New Zealand appears to occur only on Ficusmicrocarpa, and not any of the other, more common species of Ficus. Note also that Macrotrachelianigronitens has not been found feeding on any other thrips, at least not in New Zealand.Macrotrachelianigronitens is present in New Zealand as a permanent wild population in suburban gardens and parks. It should therefore be added to the New Zealand Organisms Register (NZOR), as exotic and present in the wild.The data presented herein strongly indicates that Macrotrachelianigronitens into New Zealand is unknown. It may have arrived here directly from the Americas, associated with Gynaikothripsficorum, and then shifted host to the much more locally abundant Teuchothripsdisjunctus on Callistemon. It is not known to be present in Australia, where both Teuchothripsdisjunctus and Callistemon are native.The pathway of entry of Teuchothripsdisjunctus) in leaf-roll galls on Callistemon sp. The species was subsequently found by the author in the same habitat in Auckland Domain. In the then absence of a clue to the identity of the species, the author noticed a published reference by Anthocorisaustropiceus Gross, 1954. It had been found in leaf-rolls of Teuchothripsdisjunctus on Callistemon, in Canberra, Australia (see p. 83.) The author tentatively identified the New Zealand species as Anthocorisaustropiceus, based purely on the biological association. The identity of Anthocorisaustropiceus remains somewhat unclear from the original description in Anthocorisaustropiceus (AMSA K.67861) is apparently mounted on a microscope slide , and has not been examined by the author. Macrotrachelianigronitens has not been reported from Australia. Therefore, Australian entomologists are encouraged to double check the true identities of both Anthocorisaustropiceus Gross, 1954, and whatever species of anthocorid was collected in Canberra , as it is not impossible that one or other of them could turn out to be Macrotrachelianigronitens. Note that Anthocorisaustropiceus is the only known native Australian member of the tribe Anthocorini (see http://www.environment.gov.au/biodiversity/abrs/online-resources/fauna/afd/taxa/ANTHOCORINI/checklist), the tribe to which Macrotrachelia is also assigned , which was collected in the Auckland suburb of Henderson in 1997. Subsequently, Dr. Jocelyn Berry (then hymenopterist at NZAC) gave the author some material collected from Auckland Regional Botanic Gardens in August 2005, and given to her privately by the collector. This material was associated with thrips (assigned . It therhttps://commons.wikimedia.org/wiki/File:Anthocoris_austropiceus.jpg), as Anthocorisaustropiceus, an image of a specimen from Teuchothripsdisjunctus leaf-rolls on a Callistemon tree in Auckland Domain. On 31 March 2011, an email was received from David Horton (USDA research entomologist) suggesting that the imaged specimen was in fact a species of Macrotrachelia, which he suggested was probably Macrotrachelianigronitens, but with some reservations as the genus has not been taxonomically revised in recent times. Meanwhile, the author noted a specimen in NZAC collected in the 1980s (1986?), by entomologist Dr. Beverley A. Holloway, on a clothes line in her garden at Lynfield, Auckland. The specimen had an identification label on it reading \"near Maoricorisbenefactor\", det. M.-C. Larivi\u00e8re. The specimen was with the other material of Maoricoris (an unrelated endemic monotypic genus). Full details are currently unavailable to the author, but it is important for this specimen to be tracked down and confirmed as the likely first New Zealand record of Macrotrachelianigronitens. The issue is therefore highlighted herein for others to follow up. Until September 2007, the author deposited several other specimens into NZAC, tentatively identified as Anthocorisaustropiceus. In 2008 the species was independently discovered in New Zealand , associated with Gynaikothripsficorum leaf-rolls on Ficusmicrocarpa . Macrotrachelianigronitens in California and elsewhere. The Ministry for Primary Industries treated this as a new incursion, which resulted in the current biosecurity status of Macrotrachelianigronitens as a new organism in New Zealand. Regrettably, none of the people involved or officially consulted by MPI during the incursion investigation took into account the all of the relevant material in AMNZ and NZAC, material which clearly demonstrates that Macrotrachelianigronitens has been present in N.Z. since at least 1997 and almost certainly at least since the 1980s.On 27 March 2010, the author collected and uploaded to Wikimedia Commons Note that the present author had already sent New Zealand material to Horton, who carefully examined it, including dissections of both male and female genitalia, and he determined it as Macrotrachelianigronitens, based on the published literature. Larivi\u00e8re and Larochelle 2014 formally published the identification after 'comparison between specimens from NZAC and MACN', but without giving details how the comparison was made, or upon what the identification of the MACN material is based. Nevertheless, the present author accepts the determination as being certain enough to run with, in lieu of future taxonomic and/or molecular studies.David Horton initially intended to publish the New Zealand record of"}
+{"text": "Nature Communications7: Article number: 11146 10.1038/ncomms11146 (2016); Published: 03312015; Updated: 04262015In Fig. 3 of this Article, data in panel \u2018a' were inadvertently partially obscured during the production process. The correct version of Fig. 3 now appears in the PDF and HTML versions of the Article."}
+{"text": "Scientific Reports5: Article number: 869710.1038/srep08697; published online: 03032015; updated: 12182015This Article contains a typographical error in the Introduction section.16,17.although the existence of a such a transition below the upper critical dimension is still under debateshould read:16,17.although the existence of such a transition below the upper critical dimension is still under debateIn addition, there are errors in the following equations.In Equation (14)should read:In Equation (15)should read:In Equation (16)should read:"}
+{"text": "It came to our attention after our manuscript was published that the caption of Table 1 was incomplete. We provide below the missing information, which is essential to the correct interpretation of the referred table.a Species names and authors are as specified in the original text.b Setation formulae of the first (P1), second (P2) and fourth (P4) swimming legs are summarized as follows: Re /Ri , where Re: exopod, Ri: endopod. F: adult female; M: adult male; TL: total length (mm); Ur1 to Ur5: urosome segments; Fu: furca; CR: caudal rami. nd: no data.PageBreak* Character not explicitly stated in the original but taken from accompanying drawings for comparison purposes.\u00a7 Most likely Crisafi (1959) described a late juvenile C5 as an adult male. In addition to the non-geniculated antennule, the urosome is 4-segmented with the last two segments fused ."}
+{"text": "Scientific Reports5: Article number: 1589510.1038/srep15895; published online: 10282015; updated: 12142015In the original HTML version of this Article, Li Yue-Chun was incorrectly listed as being affiliated with \u2018Department of Pediatrics, Second Affiliated Hospital of Wenzhou Medical University, Wenzhou 325000, China\u2019. The correct affiliation is listed below:Department of Cardiology, Second Affiliated Hospital of Wenzhou Medical University, Wenzhou 325000, ChinaThis has now been corrected."}
+{"text": "There are errors in the Author Contributions. The correct contributions are: Conceived and designed the experiments: MR AO MW MJ. Performed the experiments: MR MJ CS MG MM. Analyzed the data: MR AO MJ MM. Wrote the paper: MR AO MW."}
+{"text": "There are errors in the Author Contributions. The correct contributions are: Conceived and designed the experiments: SW EC. Analyzed the data: SW EC. Contributed reagents/materials/analysis tools: SW EC. Wrote the paper: SW EC."}
+{"text": "Scientific Reports5: Article number: 1215610.1038/srep12156; published online: 07172015; updated: 09222015The original version of this Article contained a typographical error in the spelling of the author Seulki Roh, which was incorrectly given as Seulki Rho. This has now been corrected in both the PDF and HTML versions of the Article."}
+{"text": "The correct contributions are: Conceived and designed the experiments: SNF MZ. Performed the experiments: JB SC. Analyzed the data: SC MZ JB. Contributed reagents/materials/analysis tools: SNF JB SC. Wrote the paper: SC MZ JB SNF. Designed the computational analysis: MZ SC.There is an error in the penultimate sentence of the second paragraph of the \u201cThe least-dependent components are statistically nearly independent\u201d subsection of the Results. The correct sentence is: The distribution of this null estimate calculated from 100 flight segments (12000 pairs of LDCs) is shown in Fig. 7B (red dashed line)."}
+{"text": "Scientific Reports6: Article number: 2421010.1038/srep24210; published online: 04132016; updated: 06202016In the original version of this Article, an additional affiliation for Taek Dong Chung was omitted. The correct affiliation is listed below:Advanced Institutes of Convergence Technology, Suwon-Si, Gyeonggi-do 16229, Korea.This error has now been corrected in the PDF and HTML versions of the Article."}
+{"text": "AbstractHomotrysismacleayi in New Zealand. Evaluation of this evidence clearly indicates that the species is fully established in the wild in New Zealand. It is therefore recommended that the species be added to the New Zealand Organisms Register (NZOR), as exotic and present in the wild. Some general comments are offered on the importance of data and evidence in faunistics.The first detailed specimen records are presented for the Australian beetle Homotrysismacleayi . Although I immediately recognised it as a species of alleculine tenebrionid unknown in New Zealand, it was not identified until I found others in 2012. These were identified as Homotrysismacleayi by Australian tenebrionid expert Dr. Eric Matthews . The species was validated new to N.Z., based on this material identified by Matthews, by Homotrysismacleayi (tenebrionid beetle), Acacia sp. (wattle), Auckland, General Surveillance). Nothing more has been published regarding the presence of this beetle in New Zealand. There is currently no record of it on the New Zealand Organisms Register (NZOR). It is therefore somewhat unclear what the status is of the species in New Zealand. Is it a permanently established member of the New Zealand fauna? Faunistics is the study of the presence/absence of species in a given area, such as New Zealand. Since we are scientists, and not stamp collectors, the presence of a given species in a given area should be stated with specification of the associated evidence for its presence. Presence/absence can change over time. Presence could be based on a single, possibly mislabelled and/or misidentified specimen, or by many independent specimen records taken over a long period of time. It is important to specify, but it is not often done. Similarly, presence could be based on a specimen or specimens representing only post border interceptions, without a breeding resident population. Only the systematic accumulation of data can establish the facts.In 2004, I collected what is probably the first New Zealand specimen of the Australian beetle https://species.wikimedia.org/wiki/Homotrysis_macleayiAlleculamacleayi Borchmann, 1909 Alleculaflavicornis Macleay, 1887 (objective synonym)Type status:Other material. Occurrence: recordedBy: S.E. Thorpe; individualCount: 1; Taxon: scientificName: Homotrysismacleayi ; Location: country: New Zealand; stateProvince: Auckland; verbatimLocality: Auckland Domain; verbatimLatitude: 36.86385S; verbatimLongitude: 174.77501E; Identification: identifiedBy: Stephen E. Thorpe; Event: samplingProtocol: On trunk of Eucalyptus tree at night; eventDate: 2004-04-28; Record Level: institutionCode: Auckland Museum; collectionCode: AMNZ57969Type status:Other material. Occurrence: recordedBy: S.E. Thorpe; individualCount: 3; Taxon: scientificName: Homotrysismacleayi ; Location: country: New Zealand; stateProvince: Auckland; verbatimLocality: Tamaki Campus (East), suburb of Saint Johns, Auckland; verbatimLatitude: 36.88615S; verbatimLongitude: 174.85258E; Identification: identifiedBy: Eric G. Matthews; Event: samplingProtocol: Under loose bark of chopped up wattle tree (possibly Paraserianthes lophantha); eventDate: 2012-03-08; Record Level: institutionCode: Auckland Museum; collectionCode: AMNZ86134 (1 specimen)Type status:Other material. Occurrence: recordedBy: S.E. Thorpe; individualCount: 1; Taxon: scientificName: Homotrysismacleayi ; Location: country: New Zealand; stateProvince: Auckland; verbatimLocality: Tamaki Campus (East), suburb of Saint Johns, Auckland; verbatimLatitude: 36.88216S; verbatimLongitude: 174.85331E; Identification: identifiedBy: Stephen E. Thorpe; Event: samplingProtocol: Under bark of Pittosporum eugenioides stump, at edge of carpark.; eventDate: 2013-05-05; Record Level: institutionCode: Auckland Museum; collectionCode: AMNZ87636Type status:Other material. Occurrence: recordedBy: S.E. Thorpe; individualCount: 1; Taxon: scientificName: Homotrysismacleayi ; Location: country: New Zealand; stateProvince: Auckland; verbatimLocality: Tamaki Campus (East), suburb of Saint Johns, Auckland; verbatimLatitude: 36.88100S; verbatimLongitude: 174.85310E; Identification: identifiedBy: Stephen E. Thorpe; Event: samplingProtocol: On dead tree fern frond, on ground, by pond; eventDate: 2014-01-09; Record Level: institutionCode: Auckland Museum; collectionCode: AMNZ87720Homotrysismacleayi is easily recognised as an alleculine tenebrionid. Fig. Homotrysismacleayi on four separate occasions, spread over a number of years , at two sites in the vicinity of metropolitan Auckland . Figs I have now collected Homotrysismacleayi. I have collected it on a trunk of a Eucalyptus tree at night, under the bark of a chopped up wattle tree , under the bark of a stump of the native tree Pittosporumeugenioides at the edge of a carpark, and on the ground on a dead tree fern frond. I have only collected the species from anthropogenic habitats in metropolitan Auckland.Little or nothing is known of the ecology of Homotrysismacleayi was proposed as a new replacement name by Alleculamacleayi) for Alleculaflavicornis Macleay, 1887 , which is a junior homonym of Alleculaflavicornis Kolbe, 1883 (West Africa). It therefore makes no sense that Homotrysisflavicornis (Macleay 1887) and Homotrysismacleayi , with different associated data!There is some published confusion regarding this species in Australia. Homotrysismacleayi is present in the wild in metropolitan Auckland, and has been present there for some 10 years. The identification has been validated by Ministry for Primary Industries (MPI). I therefore recommend that Homotrysismacleayi be added to the New Zealand Organisms Register (NZOR), as exotic and present in the wild.The available data clearly indicates that a breeding population of"}
+{"text": "Critical Care, Oshiro and colleagues describe the profile of acute coagulopathy of trauma-shock (ACOTS) using viscoelastic techniques [In an interesting and original article in a recent issue of chniques . The autchniques \u20134]. How. HowCritchniques . In thischniques . RegardlSatoshi GandoWe appreciate the interest of Egea-Guerrero and colleagues in our article regarding DIC in trauma . We agreACOTS: Acute coagulopathy of trauma-shock; APC: Activated protein C; DIC: Disseminated intravascular coagulation; PAI-1: Plasminogen activator inhibitor-1.The authors declare that they have no competing interests."}
+{"text": "Scientific Reports6: Article number: 1951710.1038/srep19517; published online: 01222016; updated: 02252016.in vivo: A Biomarker for LDH Activity\u201d was incorrectly given as \u201cLactate Chemical Exchange Saturation Transfer (LATEST) Imaging in vivo A Biomarker for LDH Activity\u201d. This has now been corrected in the PDF and HTML versions of the Article.The original version of this Article contained an error in the title of the paper, where \u201cLactate Chemical Exchange Saturation Transfer (LATEST) Imaging"}
+{"text": "There is an error in the funding statement. Please refer to the correct funding statement below.The authors received funding for this study from the following sources.http://www.sdcz.gov.cn/; Funding institution: Shandong Province Finance Bureau; Authors that received the funding: HZ;Grant number:Lu Cai Jiao Zhi (2013) 171;URL:\u00a0http://www.nsfc.gov.cn/; Funding institution: National Natural Science Foundation of China; Authors that received the funding: WG;Grant number:81400573; URL:\u00a0http://www.nsfc.gov.cn/; Funding institution: National Natural Science Foundation of China; Authors that received the funding: WG.Grant number:61471384; URL:"}
+{"text": "Computer Aided Diagnosis (CAD), which can automate the detection process for ocular diseases, has attracted extensive attention from clinicians and researchers alike. It not only alleviates the burden on the clinicians by providing objective opinion with valuable insights, but also offers early detection and easy access for patients.We review ocular CAD methodologies for various data types. For each data type, we investigate the databases and the algorithms to detect different ocular diseases. Their advantages and shortcomings are analyzed and discussed.We have studied three types of data that have been commonly used in existing methods for CAD. The recent developments in methods used in CAD of ocular diseases are investigated and summarized comprehensively.While CAD for ocular diseases has shown considerable progress over the past years, the clinical importance of fully automatic CAD systems which are able to embed clinical knowledge and integrate heterogeneous data sources still show great potential for future breakthrough. Patients with ocular diseases are often unaware of the asymptomatic progression of the said disease until atOwing to the fast pace of technological advancements in both hardware and software, many CAD systems have been developed for the diagnosis of ocular diseases over the past years, though most of them are still undergoing evaluation or clinical validation. For example, Fujita et al. discusseThough such fully automated systems are not yet on the market, semi-automated and manual computer systems incorporating these CAD systems are relatively widely used, with several clinical publications already reporting on their usage. Examples of the development of such systems include IVAN from UniThis survey covers three types of data for CAD systems: clinical data, image based data and genetic data. Clinical data refers to a patient\u2019s demographic information and data acquired from clinical laboratory tests or exams, e.g. intra-ocular pressure (IOP), but excludes data acquired from digital imaging or genomic tests . Image based data refers to images captured using an imaging device for observing the pathology in the affected part of the eye . Genetic information refers to any data obtained from an individual\u2019s DNA, genes or proteins (Section \u201cResult: predicting ocular diseases based on genetic information\u201d). These definitions are specific to this paper and may vary depending on context. Of the three data types, CAD systems using clinical data has already been widely studied in the clinical field -10. As fThere have been surveys on retinal imaging in the area of ocular research ,13. HoweIn this work, we review research and development on automatic ocular disease diagnosis in the light of three data types, viz. clinical, image and genetic. For each data type, we investigate the algorithms and available databases developed for different ocular diseases. The associated publications were retrieved from two literature databases, PubMed and IEEEXplore. Considering the works which use images as data, to understand the major image modalities used for CAD applications and the trends of research areas, we summarize the statistics of image-based studies conducted on various ocular diseases. We examine the biomedical databases to extract the known genetic information regarding ocular diseases.The results of the review are presented in three sections: Sections \u201cResult: CAD of ocular diseases based on clinical data\u201d and \u201cResult: CAD of ocular diseases based on imaging\u201d describe the CAD of ocular diseases based on clinical data and ocular imaging respectively. Section \u201cResult: predicting ocular diseases based on genetic information\u201d concerns studies relating genomic informatics to disease prediction. Furthermore, in Section \u201cDiscussion\u201d we discuss the observed trends in the field and the possibility of CAD systems based on integrated data sources.One of the pioneer research works on Clinical Decision Support Systems (CDSS), CASNET or through a cultural sample of bacteria from the eye tested in a laboratory 31], a meResearch on CAD of PM has mainly relied on DFP but recently there have been efforts to explore the use of SS-OCT for PM analysis.An observable sign for PM detection is PPA, an atrophy of pre-existing retina tissue. The APAMEA system proposed by Liu et al. was the Different features have been extracted from DFP for PM detection. APAMEA extracted a texture feature obtained through entropy analysis. In BIF was \u03bcm range, which has improved their ability to penetrate deeper into tissues than the conventional SD-OCT instruments [SS-OCT uses a frequency swept laser as a light source and, in truments . Though truments reportedA brief review of cataract grading and CAD for corneal opacity is given below.Cataract is characterized by a cloudiness (opacity) in the eye lens which obstructs vision and can even lead to blindness. Cataract can be categorized into three types based on the location of opacity within the lens structure: nuclear, cortical and Posterior Sub-Capsular (PSC) . NuclearFigure\u00a0Typical features used for grading CC and PSC include enhanced texture features , intensiCorneal haze describes the condition when the cornea becomes cloudy or opaque. The cornea is normally clear, so corneal haze can greatly impair vision. Although the haze can occur in any part of the cornea, it is most often found within the thicker, middle layer of the cornea, called the stroma. Corneal haze is most often caused by inflammatory cells and other debris that are activated during trauma, infection or surgery. Corneal haze sometimes occurs during laser vision correction procedures.Slit lamp imaging has been used to clinically estimate corneal haze manually by physicians but not automatically. For example, it was used to observe the cornea haze after excimer laser ablation of cornea ,287. SliThe above imaging modalities have been used in clinic with manual detection but till now, as far as we know, there is no automatic method based on these modalities. Currently, the existing automatic method is based on the most straightforward way: examining frontal photograph of eye ,291. In AMD: Age-related macular degeneration; AM-FM: Amplitude modulation-frequency modulation; BM: Bruch\u2019s membrane; BMO: Bruch\u2019s membrane opening; CAD: Computer aided detection; CASNET: Causal association network; CC: Cortical cataract; CCT: Central corneal thickness; CDR: Cup-to-disc ratio; CDSS: Clinical decision support systems; CME: Cystoid macular edema; CNV: Choroidal neovascularization; CSLO: Confocal scanning laser ophthalmoscopy; DH: Disc haemorrhage; DR: Diabetic retinopathy; FBIF: Focal biologically inspired feature; GRI: Glaucoma risk index; GWAS: Genome-wide association studies; HALT: Histogram based adaptive local thresholding; HE: Hard exudates; HRT: Heidelberg retina tomography; ICA: Independent component analysis; IOP: Intra-ocular pressure; LASSO: Least absolute shrinkage selector operation; LDA: Linear discriminant analysis; MGG: Mixture of generalized Gaussian; MLP: Multilayer perceptron; MOG: Mixture of Gaussian; MRA: Moorfields regression analysis; MRI: Magnetic resonance imaging; MTA: Major temporal arcade; NC: Nuclear cataract; NCO: Neural canal opening; NRR: Neuro-retinal rim; OCT: Optical coherence tomography; OMIM: Online Mendelian inheritance in man; PCA: Principal component analysis; PM: Pathological myopia; PPA: Parapapillary atrophy; PSC: Posterior sub-capsular; QDA: Quadratic discriminant analysis; RNFL: Retina nerve fibre layer; RNFLT: Retina nerve fibre layer thickness; ROI: Region of interest; RPE: Retinal pigment epithelium; SAP: Standard automated perimetry; SD-OCT: Spectral domain-optical coherence tomography; SEAD: Symptomatic exudate-associated derangements; SIFT: Scale-invariant feature transform; SLIC: Simple linear iterative clustering; SLP: Scanning laser polarimetry; SNP: Single-nucleotide polymorphism; SNR: Signal to noise ratio; SS-OCT: Swept source-optical coherence tomography; SVDD: Support vector data description; SVM: Support vector machines; TCA: Topographic change analysis; VCD: Vertical cup diameter; VDD: Vertical disc diameter.The authors declare that they have no competing interests.ZZ conceived topic of this survey, did the review for ocular genomic data, and image related PM research and wrote the concerned parts of the manuscript. RS surveyed and wrote on Cataract and DR and consolidated the final manuscript. HL surveyed and wrote on the topics of AMD detection and corneal opacity detection. XC surveyed and wrote about Glaucoma screening and also enriched the section on CAD of ocular diseases based on clinical data. LD clarified the motivation of this survey and wrote the conclusion. JL, CKK and DWKW conceived of the survey and participated in designing it. TYW provided clinical advice. All authors read and approved the final manuscript.The pre-publication history for this paper can be accessed here:http://www.biomedcentral.com/1472-6947/14/80/prepub"}
+{"text": "Scientific Reports5: Article number: 1042210.1038/srep10422; published online: 05282015; updated: 10282015.The original version of this Article contained a typographical error in the spelling of the author Martin Nors Pedersen, which was incorrectly given as Martin Nors Perdersen.This has now been corrected in both the PDF and HTML versions of the Article."}
+{"text": "Scientific Reports5: Article number: 16577; 10.1038/srep16577published online 11122015; updated: 01272016The original version of this Article contained a typographical error in the spelling of the author Chae-Myeong Ha which was incorrectly given as Chae-Myung Ha. This has now been corrected in the PDF and HTML versions of the Article."}
+{"text": "Nature Communications 6: Article number: 784110.1038/ncomms8841 (2015); Published: 07312015; Updated: 10222015.The original version of the Supplementary Information attached to this Article did not contain Supplementary Tables 1\u20137. The HTML has now been updated to include a corrected version of the Supplementary Information."}
+{"text": "Scientific Reports6: Article number: 24396; 10.1038/srep24396published online: 04182016; updated: 08252016The original version of this Article contained a typographical error in the spelling of the author Paola Bolognesi, which was incorrectly given as Paolo Bolognesi. This has now been corrected in the PDF and HTML versions of the Article."}
+{"text": "Scientific Reports5: Article number: 17665; 10.1038/srep17665 published online: 12072015; updated: 01202016.The original version of this Article contained a typographical error in the spelling of the author Konstantinos Karakostis, which was incorrectly given as Kostantinos Karakostis. This has now been corrected in both the PDF and HTML versions of the Article."}
+{"text": "Scientific Reports6: Article number: 23213; 10.1038/srep23213 published online: 03182016; updated: 04292016.The original version of this Article contained a typographical error in the spelling of the author Ana C. Glembotsky, which was incorrectly given as Ana C. Glembostky. This has now been corrected in the PDF and HTML versions of the Article."}
+{"text": "Nature Communications7: Article number: 10268 10.1038/ncomms10268 (2016); Published: 01082016; Updated: 03032016The financial support for this article was not fully acknowledged. The Acknowledgements should have included the following:This work was supported by the intramural research program of the NIMH (ZIA-MH-002498-24)."}
+{"text": "Nature Communications6, Article number: 7131 10.1038/ncomms8131 (2015); Published 05192015; Updated: 08262015.The original version of this Article contained an error in the spelling of circulation in the title of the paper, and in"}
+{"text": "The seventh and eighth authors\u2019 names are spelled incorrectly. The correct names are: Flavia de Lima Alves and Juri Rappsilber.The authors contributions with the corrected initials are provide here:Conceived and designed the experiments: JG FT SCL BH JR. Performed the experiments: SCL BH PP FdLA SMG JG SY HT EdL. Analyzed the data: FdLA KS GVJ JG FT. Wrote the paper: JG FT EJF BH SCLThe 7th author\u2019s current address is missing. Flavia de Lima Alves\u2019 current address is: Centre for Microbial Chemical Biology, Department of Biochemistry, McMaster University, Ontario, CanadaThe affiliation for the 8th author is incomplete. Juri Rappsilber is affiliated with: Department of Bioanalytics, Institute of Biotechnology, Technische Universit\u00e4t Berlin, Berlin, Germany in addition to the listed affiliation: 3. Wellcome Trust Centre for Cell Biology, University of Edinburgh, Edinburgh, United KingdomThe following information is missing from the Funding section: The Wellcome Trust generously funded this work through a Senior Research Fellowship to JR (103139), a Centre core grant (092076) and an instrument grant (108504)."}
+{"text": "Scientific Reports6: Article number: 22440;10.1038/srep22440 Published online: 03012016; Updated: 06022016The following statement has been omitted from the \u2018Additional Information\u2019 section of the HTML version of this Article:\u201cData Availability: The images and spectra on which this paper is based may be publicly accessed and are stored at 10.17639/nott.35\u201d.The PDF version of this Article was correct at the time of publication."}
+{"text": "Nature Communications6: Article number: 10063 10.1038/ncomms10063 (2015); Published: 12212015; Updated: 04202016Staphylococcus aureus accession codes is incorrect, as follows:In Supplementary Data 3 of this Article, one of the SRR2101499 should be ERR1197981."}
+{"text": "Scientific Reports6: Article number: 2907310.1038/srep29073; published online: 07012016; updated: 08192016.The original version of this Article contained a typographical error in the spelling of the author Daniela Fernandois, which was incorrectly given as Daniela Fernadois. This has now been corrected in the PDF and HTML versions of the Article."}
+{"text": "Nature Communications 6: Article number: 6756 (2015); 10.1038/ncomms7756 Published: 04092015; Updated: 08212015.The affiliation details for Lin Xu and Xintian Hu are incorrect in this article. The correct affiliation for these authors is given below. Kunming Institute of Zoology, CAS Center for Excellence in Brain Science, Chinese Academy of Sciences, Kunming 650223, China."}
+{"text": "There are errors in the Author Contributions section. The correct contributions are: Conceived and designed the experiments: HM MK. Performed the experiments: HM. Analyzed the data: HM JT MK. Contributed reagents/materials/analysis tools: MK. Wrote the paper: HM MK JT."}
+{"text": "Scientific Reports5: Article number: 11699;10.1038/srep11699 Published online: 07012015; Updated: 05092016This Article contains an error in Figure 2: the arrow depicting the electric field should point right to left. The correct Figure 2 appears below as"}
+{"text": "Scientific Reports6: Article number: 22027; 10.1038/srep22027 published online: 02232016; updated: 06102016In the original version of this Article, an additional affiliation for Lin Chen and YiMing Zhu was omitted. The correct affiliation is listed below:Cooperative Innovation Center of Terahertz Science, Chengdu 611731, China.This error has now been corrected in the PDF and HTML versions of the Article."}
+{"text": "Description: Due to errors introduced in the production process, the Supporting Informationfiles were excluded. They can be found here:Table S1: [^]"}
+{"text": "Scientific Reports6: Article number: 2186410.1038/srep21864; published online: 02232016; updated: 05042016In this Article, Figure 4 is incorrect. The Figure legend is correct. The correct Figure 4 appears below as"}
+{"text": "Nature Communications6: Article Number: 744610.1038/ncomms8446 (2015); Published 07012015; Updated 12142015The financial support for this Article was not fully acknowledged. The Acknowledgements should have included the following:ST acknowledges financial support from Grant-in-Aid Research S No. 26220710."}
+{"text": "There are errors in the Author Contributions. The correct contributions are: Conceived and designed the experiments: PLA JS JM. Collected data: ELV JLR KG JS. Interpreted images: ELV JLR. Analyzed the data: ALGB ELV OJA. Wrote the paper: ALGB ELV BM."}
+{"text": "Scientific Reports5: Article number: 950210.1038/srep09502; published online: 03302015; updated: 09212015et al. (reference 31), but in that paper the relevant data are not shown.The results presented in Fig. 1B were produced by Wei Wang, Kun-Liang Guan and Michael Karin. The authors neglected to indicate that the same results were also reported by Parmigiani"}
+{"text": "Scientific Reports5: Article number: 1591510.1038/srep15915; published online: 11032015; updated: 02052016In the Supplementary Information file originally published with this Article, the details of the beta testers in Supplementary Table S11 were incorrect. These errors have been corrected in the Supplementary Information that now accompanies the Article."}
+{"text": "There are errors in the Author Contributions. The correct contributions are: Conceived and designed the experiments: GL LX TF YC GJ HZ JW XC CW. Performed the experiments: GL LX TF JW. Analyzed the data: GL LX TF. Contributed reagents/materials/analysis tools: GL. Wrote the paper: GL.Additionally, there is an error in the legends for Further, there is an error in the footnotes for"}
+{"text": "Scientific Reports5: Article number: 1741310.1038/srep17413; published online: 11272015; updated: 01292016The Acknowledgements section in this Article is incomplete.\u201cThis study was supported by National Natural Science Foundation of China .\u201dshould read:\u201cWe thank Min Zhao , Zhu Ba , Zhaoxia Zhang , and Xinbo Song for helpful sample collection.This study was supported by National Natural Science Foundation of China .\u201d"}
+{"text": "Scientific Reports6: Article number: 2012710.1038/srep20127; published online: 02162016; updated: 04202016.The original version of this Article contained an error in the spelling of the author Maha Al-Asmakh, which was incorrectly given as Al-Asmakh Maha. This has now been corrected in the PDF and HTML versions of the Article."}
+{"text": "The affiliation for the seventh author is incorrect. Ajit Varki is not affiliated with #4 but with #3 University of California, San Diego, CA, USA.The following information is missing from the Funding section: This work was also supported by NIH grants R01GM32373 and U01 CA199792 (to AV).There are errors in the Author Contributions. The correct contributions are: Conceived and designed the experiments: GFG YS HS JQ. Performed the experiments: HS JQ SD. Analyzed the data: HS JQ YS ZK. Contributed reagents/materials/analysis tools: HS JQ YS HY XC. Wrote the paper: HS AV YS GFG. Collected the X-ray data and solved the structures: JQ. Array analysis and interpretation: ZK SD AV. Synthesis of glycans for array: HY XC."}
+{"text": "There are errors in the Author Contributions. The correct contributions are: Conceived and designed the experiments: LFT EMF. Performed the experiments: LFT WAdG EAJC. Analyzed the data: NAW. Contributed reagents/materials/analysis tools: CNW SG PD LJSH EMF. Wrote the paper: NAW LFT PMA WAdG EAJC CNW SG PD LJSH EMF"}
+{"text": "Scientific Reports6: Article number: 2266110.1038/srep22661; published online: 03032016; updated: 05042016In the Supplementary Information file originally published with this Article, references 32, 33 and 37 were incorrectly given as references 25, 26 and 35 respectively. These errors have been corrected in the Supplementary Information that now accompanies the Article."}
+{"text": "Following publication of the original article , the autSuperficial venous thrombosisas a possible consequence of ChAdOx1 nCoV-19 vaccine: two case reports.The incorrect title is:Superficial venous thrombosis as a possible consequence of ChAdOx1 nCoV-19 vaccine: two case reports.The correct title is:The title has been updated above and the original article has been"}
+{"text": "Donacaulaniloticus is known from south-eastern Europe, Middle East and Turkey to Central Asia, northern India and China and widely distributed in North Africa .Donacaulaniloticus (Zeller 1867) is recorded for the first time from the Iberian Peninsula and the first DNA barcode sequence is published and compared with other European and North American Donacaula species. Crambidae currently includes 10,343 species in 15 subfamilies worldwide of which 239 species in 29 genera belong to the subfamily Schoenobiinae , S.xanthopygataSchoenobiusgigantellus collected from the saltmarshes of Adventus in Trebujena . The specimens collected have some consistent morphological features which differ from the other Donacaula species. In addition, mtDNA sequence(COI) were used to assess genetic divergence between the Donacaula species from Europe and North America.In this article, we provide the first record and DNA barcoding of During the sampling, one female specimen with a white discocellular spot and unpointed apex traits was collected Fig. a. AdditiThe specimen was pinned, wings spread and dried. Their external characters were examined in order to evaluate possible differences in colouration and wing shape. Furthermore, it was dissected using standard procedures with minMZ920225).For DNA extraction, two legs were removed from the specimen in order to sequence the 658 base-pair long barcode segment of the mitochondrial COI gene . The tissue samples were submitted to the Canadian Centre for DNA Barcoding to obtain DNA barcodes using the high-throughput protocol described in Donacaulaniloticus and the Donacaulaother species from Europe and from North America, we included all sites with the pairwise deletion option. The public sequences of Donacaulaforficella , D.mucronella from Europe and D.longirostrallus , D.maximellus , D.melinellus , D.sordidellus and D.unipunctellus from North America were obtained from the public database in BOLD. We selected Scirpophagapraelata , which is systematically related into subfamily Schoenobiinae as outgroup to root the trees.Voucher data, images, sequences and trace files are publicly available on the Barcode of Life Data System (BOLD) . Sequencstrallus BA57C87D-617C-568C-BEB0-08E4550B3C75Schoenobiusniloticus Type status:Other material. Occurrence: recordedBy: J.J. Guerrero; individualCount: 1; sex: female; lifeStage: adult; disposition: in collection; Taxon: scientificName: Donacaulaniloticus ; kingdom: Animalia; phylum: Arthropoda; class: Insecta; order: Lepidoptera; family: Crambidae; genus: Donacaula; specificEpithet: niloticus; taxonRank: species; verbatimTaxonRank: sp.; scientificNameAuthorship: ; taxonomicStatus: accepted; Location: country: Spain; stateProvince: Andalusia; county: Cadiz; locality: Trebujena, Saltmarshes of Adventus, Seno de la Esparraguera; verbatimCoordinates: 36\u00b053'31.20\"N 6\u00b015'36.00\"W; verbatimLatitude: 36\u00b053'31.20\"N; verbatimLongitude: 6\u00b015'36.00\"W; Identification: identifiedBy: J.J. Guerrero; dateIdentified: 2020; Event: samplingProtocol: light trap; eventDate: 08/09/2020; year: 2020; month: 9; day: 8; Record Level: institutionCode: ZAF-UMU; collectionCode: RCBA; basisOfRecord: PreservedSpecimenDonacaulaniloticus according to the diagnosis in Donacaula, are for the male: forewing with dark brownish line from the costal margin to approximately the centre of the wing, parallel to the outer margin; and for the female: forewing with white discocellular spot and apex non-pointed. Integrating the evidence from COI mitochondrial DNA sequences and adult morphology, we conclude that the D.niloticus specimen collected in the saltmarshes of Adventus (C\u00e1diz) is genetically different to other species included in the genus Donacaula from Europe and North America.The Iberian specimen showed morphological traits Figs , 2 typicDonacaulaniloticus and seven Donacaula species from Europe and North America, including Scirpophagapraelata as additional Schoenobiinae species, are presented in Table The COI divergences between All trees presented the same topology and were practically identical; therefore, only the ML tree is presented here with the branch tips collapsed since each of the groups of sequences correspond to a single BIN Fig. . The comDonacaulaniloticus in the riparian vegetation near to the mouth of the Guadalquivir River into the saltmarshes of Adventus is confirmed by integrating the evidence from COI mitochondrial DNA sequences and adult morphology and is genetically different to the other two European and six North American Donacaula species. Molecular data indicate significant divergence with large mean distances amongst Donacaula species (13.0%) with maximum distance between D.sordidellus and D.longirostrallus and minimum distance between D.melinellus and D.mucronella (7.6%). In the case of D.niloticus, the distance to the European Donacaula species was 13% to D.forficella and 11.8% to D.mucronella, while the genetic divergence amongst D.forficella and D.mucronella was 13%. .The presence of species 3.0% with%. Table . AlthougDonacaula is associated with various semi-aquatic and marsh plants where their larval stages live in stems or roots or on exposed and non-submerged leaves of Phragmitesaustralis, Glyceria spp. and Carex spp. These lepidopterans have developed various strategies and adaptations that have allowed them to stay in close proximity to water which forms estuaries, salt marshes and marshes with a mixture of salty and fresh waters which is represented by the communities Cistancho-Arthrocnemetum macrostachyi, Polygono-Limoniastretum monopetaliSpartinetum maritimae, Puccinellio-Sarcocornietum perennis, Halimiono-Sarcocornietum alpini, and, on the edge of the estuaries, the halonitrophilic community, Cistancho-Suaedetumverae. Sometimes, a plantation of Polygono-Tamaricetumafricanae may appear. The land use bordering the habitat are mainly agricultural fields of the Data typeMaximum Likelihood tree (ML)Brief descriptionDonacaula species rooted with Scirpophagapraelata. Branch supports are represented by SH-aLRT/aBayes/UFBoot.Maximum Likelihood tree (ML) including 99 sequences of selected File: oo_607849.pdfhttps://binary.pensoft.net/file/607849Antonio S. Ortiz"}
+{"text": "Many flies have specially evolved feeding mechanisms to imbibe liquids of specific viscosities. Observations of feeding on atypical liquids are notable because of their rarity.Philolicherondani.We report the first record of intrusive fluid feeding on vertebrate carrion by Diptera constitute one of the five taxonomically megadiverse insect orders 19FAFF98-8D86-5F61-BD1E-029FBC8D2480Type status:Other material. Occurrence: individualCount: 1; sex: female; lifeStage: adult; behavior: feeding; occurrenceStatus: present; preparations: photograph; Taxon: scientificName: Philolicherondani; acceptedNameUsage: Philolicherondani; parentNameUsage: Tabanidae; kingdom: Animalia; phylum: Arthropoda; class: Insecta; order: Diptera; family: Tabanidae; genus: Philoliche; specificEpithet: rondani; taxonRank: species; scientificNameAuthorship: ; nomenclaturalCode: ICZN; taxonomicStatus: accepted; Location: higherGeographyID: 7017573; higherGeography: Africa: South Africa: Limpopo: Mookgophong: ASDIA Wild Game Farm; continent: Africa; country: South Africa; countryCode: ZA; stateProvince: Limpopo; locality: ASDIA Wild Game Farm; verbatimLocality: ASDIA Wild Game Farm, Mookgophong region; locationAccordingTo: Getty Thesaurus of Geographic Names; verbatimCoordinates: 24\u00b026'S 28\u00b025'E; verbatimLatitude: 24\u00b026'S; verbatimLongitude: 28\u00b025'E; verbatimCoordinateSystem: degrees minutes; decimalLatitude: -24.43333; decimalLongitude: 28.41666; Identification: identifiedBy: John Chainey; Event: eventDate: 2014-12; startDayOfYear: 334; endDayOfYear: 365; year: 2014; month: 12; verbatimEventDate: December 2014; habitat: savanna; eventRemarks: about 18 hours post mortem; Record Level: type: StillImage; modified: 2014-12; rights: Content licensed under Creative Commons Attribution 4.0 International; rightsHolder: R Boon; basisOfRecord: HumanObservation24\u00b026'S, 28\u00b025'E) in the Mookgophong area of Limpopo, South Africa, a female of Philoliche (Philoliche) rondani was photographed visiting the carcass of a blue wildebeest ) cow that had died during calving rondani specimens was taken from the KwaZulu-Natal Museum entomology collection (n = 15) and the average ratio of proboscis length to head height was measured using vernier calipers.A random selection of Tabanidae.Measurements of preserved specimens found the ratio of proboscis to head height to be 1.59:1 (n = 15). The minimum observed ratio was 1.15:1. In Fig. P. (P.) rondani is needed to establish the ability of these secretions to reverse the coagulation of blood. The reversal of coagulation is a likely explanation for this feeding observation, given the morphological specialisation in Philoliche.The average night time temperature in Mookgopong in December is 17.4\u00b0C, which is not low enough to delay decomposition or blood coagulation. Given the depth that the proboscis has penetrated and the time since death, intrusive feeding on coagulated blood is the most likely explanation for this observation. Further investigation into the oral secretions of Tabanidae at carcasses, but these observations have largely been dismissed as incidental (Tabaninae (three), Pangoniinae (one) and Scepsidinae (one). The variety in distribution and diversity of these observations indicates that more attention needs to be given to potential carcass feeding in Tabanidae and the potential range of viscosity in their food.Several authors have noted cidental . This maTabanidae provide evidence for their presence on a corpse and could show that a corpse has been moved after death (This behaviour is relevant to the field of forensic entomology and further investigation into the frequency of this behaviour is warranted. In future, known post-mortem bite marks should be documented, as the physiological response is likely to be different from that in pre-mortem bites. Post-mortem bite marks indicating feeding by er death ."}
+{"text": "Following publication of the original article , the autIncorrect: Kullbeck.Correct: Kullback.The original article has been corrected."}
+{"text": "RSC Advances article due to a significant amount of unattributed text overlap with The Royal Society of Chemistry hereby wholly retracts this Somayeh Sohrabi, Nour kassir and Mostafa Keshavarz Moraveji have not agreed to the retraction.RSC Advances Executive Editor.Signed: Laura Fisher, th November 2022.Date: 25"}
+{"text": "Following publication of the original article , the autGivenName: MshunqaneFamilyName: NombekoThe incorrect author\u2019s name is:GivenName: NombekoFamilyName: MshunqaneThe correct author\u2019s name is:The author group has been updated above and the original article has been"}
+{"text": "Consent was added to this article: The patient provided consent (by signing on a consent document) at the time of tumor tissue and blood sample collection stating willingness to: Provide the required sample for tumor molecular profiling.Research use of deidentified data including publication of (deidentified) findings.4358-4363. https://doi.org/10.18632/oncotarget.27809Original article: Oncotarget. 2020; 11:4358\u20134363."}
+{"text": "Due to a publishing error the article: \u201cThe effect of cooling procedures on monomer elution from heat-cured polymethyl methacrylate denture base materials\u201d, published at Journal of Applied Oral Science 2022;30:e20220161 was printed with the following error:Where it reads:It should read:Where it reads:It should read:"}
+{"text": "The seventh author\u2019s name is spelled incorrectly. The correct name is: Shira Gur-Arieh. There is also an error in affiliation 6 for author Shira Gur-Arieh. The correct affiliation 6 is: The Leon Recanati Institute for Maritime Studies, University of Haifa, Haifa, Israel."}
+{"text": "The original version of the above article contains errors that need to be corrected. Incorrect ALP staining images for Fig.\u00a0Additional file 1: Fig. S3. The original gel images of BSP and ALP results in fig.3c. a The original gel image of BSP. b The original gel image of BSP with labels and marks. c The original gel image of ALP. d The original gel image of ALP with labels and marks. PDLSCS: periodontal ligament stem cell sheet; JBMMSCS: jaw bone marrow-derived mesenchymal stem cell sheet; CSCS: composite stem cell sheet; Yellow arrows: the blots displayed in fig.3c (BSP and ALP)."}
+{"text": "The correct name is: Simon Traub. The correct citation is: Traub S, Pianykh OS (2022) An alternative to the black box: Strategy learning. PLoS ONE 17(3): e0264485."}
+{"text": "Following publication of the original article , the autThe incorrect heading is: Transmittance electron microscopyThe correct heading is: Transmission electron microscopyThe incorrect name of the electron microscope is: Zeiss EM900The correct name of the electron microscope is: EM-10, Zeiss, GermanyThe original article has been"}
+{"text": "Analysis of broad-spectrum antibiotic use in pneumonia revealed that 60% of patients were overtreated, highlighting the need for effective antibiotic stewardship practices.Systems such as the Drug Resistance in Pneumonia (DRIP) score select patients who are more likely to need broad spectrum antibiotics but still leads to overtreatment as it does not target specific pathogens. Rapid diagnostics such as the Unyvero Lower Respiratory Tract Panel (LRTP) can identify specific pathogens to narrow antibiotic use even further when combined with the DRIP score.max and DRIPmin were calculated assuming all missing elements were positive or negative respectively. The sensitivity and specificity of the DRIP score vs culture and LRTP were determined. An algorithm for antibiotic selection based on the results of the DRIP score combined with the LRTP was applied to each patient .Using an existing patient pool from a clinical trial of the LRTP (NCT01922024) a DRIP score was determined for each patient. When data elements of the DRIP score were unavailable a DRIPStenotrophomonas maltophilia Applying the algorithm to each patient based on the DRIP score and the LRTP improved antibiotic choices by reducing broad spectrum antibiotic and by more selectively targeting the identified pathogens earlier and eliminating use of multiple empiric antibiotics.The sensitivity of the DRIP score vs culture in this population was 91.2% and the specificity was 65.1%. DRIP score vs culture + LRTP combined had a sensitivity of 86.6% and a specificity of 66.3%., the lower sensitivity was mainly due to Using an antibiotic stewardship algorithm combining DRIP score with LRTP rapid diagnostic data, which results in 5 hours, can lead to improved prediction of the presence of drug resistant pathogens and aid in narrowing antibiotics. The LRTP compensates for the DRIP score only predicting presence of antibiotic resistant pathogens, not specific pathogens. The DRIP score can compensate for the LRTP only having limited antibiotic resistance markers on panel and not supplying phenotypic antibiotic resistance testing. Further study using a prospectively collected cohort with antibiotic adjustment in real time is needed for validation of our results.Matthew Sims, MD PhD, Astra Zeneca: Grant/Research Support|ContraFect: Grant/Research Support|Crestone: Grant/Research Support|Diasorin Molecular LLC: Grant/Research Support|Epigenomics Inc: Grant/Research Support|EUROIMMUN US: Grant/Research Support|Finch Theraputics: Grant/Research Support|Genentech USA Inc: Grant/Research Support|Janssen Research and Development LLC: Grant/Research Support|Kinevant Sciences GmBH: Grant/Research Support|Leonard-Meron Biosciences: Grant/Research Support|Lysovant: Grant/Research Support|Merck: Grant/Research Support|OpGen: Grant/Research Support|Prenosis: Advisor/Consultant|Prenosis: Grant/Research Support|Qiagen: Grant/Research Support|Regeneron Pharmaceuticals: Grant/Research Support|Seres Therapeutics Inc: Grant/Research Support|Shire: Grant/Research Support|Summit Therapeutics: Grant/Research Support."}
+{"text": "Following publication of the original article , the autsection.The corrected Author contributions should read:The idea and design of project: MA; designed the experiments: HST, FF, PM; performed the experiments: HST; Analyzed data: HST, FF, PM; Wrote the paper: HST; Comprehensive reading and editing of the manuscript: MA, FF, PM.The authors affiliation has been updated above and the original article has been"}
+{"text": "This series lists a pictorial quiz pertaining to identification of normal and abnormal anatomical structures and landmarks at a given level on computed tomography (CT). Readers are expected to identify and appreciate the changes from normal anatomy and variations of a given pathology. It is anticipated that this series will enhance the understanding of sectional anatomy of the brain to aid in brain CT interpretation. AnswersA: Frontal (anterior) horn of left lateral ventricleB Septum pellucidumC: Right lentiform nucleusD: Head of left caudate nucleusE: Right thalamusF: Posterior limb of the left internal capsule G: Occipital (posterior) horn of the left lateral ventricleH: Splenium of corpus callosum The image is at the level of level of the basal ganglia which is group of paired deep grey matter nuclei including caudate and lentiform nucleus. Thin linear high density seen in the occipital horns of the lateral ventricles is due to calcification of the choroid plexus. Acute subdural hematoma characteristically appears as a crescent shaped high density area.Sub-acute subdural hematoma can be isodense to the normal brain parenchyma makings its detection difficult on CT. Chronic subdural hematoma is lower in density compared to the brain parenchyma.rd Ed. New York: Elsevier Health Sciences; 2011.1. Ryan S, McNicholas M, Eustace SJ. Anatomy for diagnostic imaging e-book. 32. Currie S, Kennish S, Flood K. Essential Radiological Anatomy for the MRCS. Cambridge University Press. 2009.3. Moeller T, Reif E. Pocket atlas of sectional anatomy. Computed tomography and magnetic resonance imaging. Vol. 1 Head and neck. Stuttgart: Thieme; 2013."}
+{"text": "Due to a publishing error the article: \u201cPreemptive analgesia with ibuprofen increases anesthetic efficacy in children with severe molar: a triple blind randomized clinical trial\u201d, published at Journal of Applied Oral Science 2022;30:e20210538 was printed with the following error:Where it reads:Title: Preemptive analgesia with ibuprofen increases anesthetic efficacy in children with severe molar: a triple blind randomized clinical trialThe sentence should read:Title: Preemptive analgesia with ibuprofen increases anesthetic efficacy in children with severe molar hypomineralization: a triple-blind randomized clinical trial"}
+{"text": "The Sharr Mountains are one of the most important hotspots of terrestrial and freshwater biodiversity in the Balkan Peninsula, with many endemic and rare species. The caddisfly studies in this area increased during the past years, although insufficiently investigated areas still remain.Potamophylaxhumoinsapiens sp. n. from the Sharr Mountains in the Republic of Kosovo, which is morphologically closest to Potamophylaxidliri Ibrahimi, Bilalli & Ku\u010dini\u0107, 2022 and Potamophylaxjuliani Kumanski, 1999. The males of the new species differ from all known species of the Potamophylaxwinneguthi Species Group by their uniquely-shaped parameres, which are long, bulbous in their basal half and thin in the remaining length, with a bunch of very thin and long, hair-like spines, grouped uniformly at the apex. The new species further differs from its most similar congeners by its very wide distance between the dorsal and ventral edges of the apical part of inferior appendages in lateral view. The new species was found at three localities from 1416 to 1505 m a.s.l.In this paper, we describe a new species, Potamophylaxwinneguthi Species Group, which have very narrow distribution areas, we posit that Potamophylaxhumoinsapiens sp. n. is a microendemic of the Sharr Mountains. The new species is the second known caddisfly species occurring only in the Kosovan part of the Sharr Mountains.Similar to the other species of the The knowledge about the caddisflies of Kosovo has increased significantly over the past decade. Only few species were known before 2011 e.g. and the The Sharr Mountains are one of the most important hotspots of freshwater and terrestrial biodiversity in the Balkan Peninsula, with many endemic and rare plant and animal species e.g. . This moPotamophylaxwinneguthi Species Group from the Sharr Mountains in Kosovo and also discuss morphological, molecular and ecological features of the Potamophylaxwinneguthi Species Cluster.In this paper, we describe a new species of the Fieldwork, identification and taxonomic work. We collected adults of the new species with ultraviolet light traps. Nocturnal light trapping followed Potamophylaxhumoinsapiens sp. n., we used specimens of Potamophylaxjuliani Kumanski, 1999, Potamophylaxwinneguthi Malicky, 1999 and Morphological characteristics of male terminalia of the new species were examined in specimens cleared in 10% potassium hydroxide (KOH). Nomenclature of male terminalia follows Potamophylaxhumoinsapiens sp. n. were analysed from 12 male specimens by using the Olympus SZX16 stereomicroscope. Illustrations were prepared in Adobe Illustrator (version Creative Cloud 2018) by digitising pencil templates drawn in the pictures taken with Olympus SC50 camera.Morphological features of genitalia of Specimens of the new species were collected at three localities in the Sharr Mountains, belonging to the Sht\u00ebrpce and Prizren Municipalities Fig. Ibrahimi & Bilallisp. n.721160E4-BE2A-5F10-A8A4-8B4BA1A0840895A49795-937A-419F-BA72-A85AD2C1C98EType status:Holotype. Occurrence: recordedBy: Halil Ibrahimi, Astrit Bilalli; individualCount: 1; sex: male; lifeStage: adult; occurrenceID: 6E91A186-F8FF-5E67-A55C-F4BF514BD704; Taxon: class: Insecta; order: Trichoptera; family: Limnephilidae; genus: Potamophylax; nomenclaturalCode: ICZN; Location: continent: Europe; waterBody: Aegean Sea Basin; country: Kosovo; countryCode: XKS; municipality: Sht\u00ebrpce; locality: main road towards Prevall\u00eb; verbatimLocality: sidestream of the Lepenc River; verbatimElevation: 1416; decimalLatitude: 42.172804; decimalLongitude: 20.969464; Event: samplingProtocol: UV light trap; year: 2021; month: 11; day: 12Type status:Paratype. Occurrence: recordedBy: Halil Ibrahimi, Astrit Bilalli; individualCount: 12; sex: males; lifeStage: adults; occurrenceID: 89E22BF4-8039-5F0B-A92B-6620CF80DFB8; Taxon: class: Insecta; order: Trichoptera; family: Limnephilidae; genus: Potamophylax; nomenclaturalCode: ICZN; Location: continent: Europe; waterBody: Aegean Sea Basin; country: Kosovo; countryCode: XKS; municipality: Sht\u00ebrpce; locality: main road towards Prevall\u00eb; verbatimLocality: sidestream of the Lepenc River; verbatimElevation: 1416; decimalLatitude: 42.172804; decimalLongitude: 20.969464; Event: samplingProtocol: UV light trap; year: 2021; month: 11; day: 12Type status:Paratype. Occurrence: recordedBy: Halil Ibrahimi, Astrit Bilalli; individualCount: 20; sex: males; lifeStage: adults; occurrenceID: 97FDA7E5-5061-50AA-9C21-CE0ADE296551; Taxon: class: Insecta; order: Trichoptera; family: Limnephilidae; genus: Potamophylax; nomenclaturalCode: ICZN; Location: continent: Europe; waterBody: Aegean Sea Basin; country: Kosovo; countryCode: XKS; municipality: Sht\u00ebrpce; locality: 2 km away from the main road Sht\u00ebrpce - Prevall\u00eb; verbatimLocality: Lepenc River; verbatimElevation: 1505; decimalLatitude: 42.176299; decimalLongitude: 20.984170; Event: samplingProtocol: UV light trap; year: 2021; month: 11; day: 20Type status:Paratype. Occurrence: recordedBy: Halil Ibrahimi, Astrit Bilalli; individualCount: 7; sex: males; lifeStage: adults; occurrenceID: 68CC6836-CFAE-5D3A-8226-FA10865B105E; Taxon: class: Insecta; order: Trichoptera; family: Limnephilidae; genus: Potamophylax; nomenclaturalCode: ICZN; Location: continent: Europe; waterBody: Aegean Sea Basin; country: Kosovo; countryCode: XKS; municipality: Sht\u00ebrpce; locality: few kilometers before Brezovica ski center; verbatimLocality: tributary of the Lepenc River; verbatimElevation: 1457; decimalLatitude: 42.185053; decimalLongitude: 21.006089; Event: samplingProtocol: UV light trap; year: 2021; month: 11; day: 12Male. General appearance in lateral view very long paramere shaft, bulbous in basal half, thin in the remaining length; (2) median ventral incision on paramere shaft in lateral view; (3) parallel set-up of the basal 2/3rd of parameres on ventral view, with distal thirds diverging greatly from each other; (4) 30-40 very thin and long apical hair-like spines on parameres, grouped uniformly, curved and directed mesad in lateral view, almost reaching apex of the aedeagus in ventral view; (5) very wide distance between the dorsal and ventral corners of the apical part of inferior appendages, 2.1 times wider than in P.coronavirus, 1.4 times wider than in P.idliri and 1.2 times wider than in P.juliani; and (6) longer ventral edge of inferior appendages. The P.idliri male has long shaft of parameres, very narrow mesally, wide apically on lateral view; ventral incision on paramere shaft is located right after the basal third on lateral view; parallel set-up of the basal 1/3rd of parameres, with the remaining length gradually diverging from each other on ventral view; 10-15 medium long and very thick apical spines of different sizes on parameres, grouped irregularly, directed mesad; longer ventral edge of inferior appendages on lateral view. The P.juliani male has a short shaft of parameres with wider basal half on lateral view without any incision; parallel set-up of parameres, only with apices diverging from each other on ventral view; medium long 5-10 medium thick apical spines on parameres; ventral and dorsal corners of inferior appendages parallel to each other, directed mesad on lateral view. The P.coronavirus male has a short shaft of parameres, slightly wider on basal half on lateral view; ventral margin of paramere shaft straight, without any incision on lateral view; parallel set-up of parameres, only with apices diverging from each other, on ventral view; short, thick 5-10 apical spines on parameres; ventral and dorsal corners of inferior appendages parallel to each other, directed mesad on lateral view.Males of the new species are most similar to those of ies Figs , 8. The The species epithet is a combination of two Latin words, \u2018humo\u2019, which in English means \u2018to cover with soil, to bury\u2019 and \u2018insapiens\u2019 meaning \u2018unwise\u2019 and refers to the unwise and careless treatment of habitats of the new species, degraded greatly during the past years by hydropower plants and other activities. In some segments, the whole parts of the Lepenc River are \u2018buried\u2019 in large pipes.Potamophylaxhumoinsapiens sp. n. was found at three localities during 2021 in the Sharr Mountains, in the tributaries of the Lepenc River. All sampling sites are located inside a forested area. The substrates of streams close to the sampling sites were dominated by meso- to macrolithal substrate, surrounded by dense riparian vegetation. The species was captured only by ultraviolet light traps. The species was collected during October and November, implying it has an autumn flying period. All sampling sites are located in upstream sections of streams and rivers.Potamophylaxhumoinsapiens sp. n. have been found during 2009 in tributaries of the Lepenc and Lumbardhi i Prizrenit Rivers. The genetic distinction, calculated based on sequencing of the barcode region of the cytochrome c oxidase subunit I gene (COI) between Potamophylaxhumoinsapiens sp. n. and other species of the Potamophylaxwinneguthi Species Group, was found to be on par with those of the other morphologically recognised species in the group and especially the other five species of the P.winneguthi Species Cluster (Potamophylaxhumoinsapiens sp. n. is Potamophylaxidliri from the Jastrebac Mountains in Serbia, with the p-distance of 4%. However, due to the low number of specimens, we refrained from describing it as a new species at that time. During 2021, we collected a large number of male specimens and, based on a large scale analysis of more than 40 male specimens, we realised that the differences in paramere shape, spine pattern, inferior appendages and other characters are stable and easily distinguishable from all other species of this Species Group.Two male specimens of Cluster . These mPotamophylaxwinneguthi Species Cluster contains six species, all of them confined to certain mountains of the Balkan Peninsula. Species of this cluster have diversified in several characters of the male terminalia, the most visible being paramere shaft shape and size, paramere spine pattern and length and inferior appendages shape. Paramere shaft varies in length, width of basal and apical parts, as well as the curvature. Paramere spine pattern is especially diverse in this species complex. Spines vary from being very thick in P.winneguthi, medium thick in P.juliani, P.idliri and P.coronavirus and very thin and hair-like in P.humoinsapiens sp. n. Length of paramere spines varies from very short as 1/5th of the total paramere shaft lengh in P.juliani and P.coronavirus, as 1/3rd of paramere shaft in P.idliri, as half of paramere shaft in P.humoinsapiens sp. n. and as long as paramere shaft in P.winneguthi. In P.haidukorum Malicky, 1999 spines are lacking completely and paramere shaft is long and slender. The level of divergence in the female terminalia remains to be studied, as currently only females of P.juliani, P.winneguthi and P.haidukorum are described (Currently the escribed .Potamophylaxwinneguthi Species Group are all found at isolated habitats at different mountain ranges of the Balkan Peninsula, usually at upstream segments of streams and rivers. These habitats have deteriorated heavily during the past decades by illegal logging, pollution and water extraction. Considering the fact that all species of this cluster up to now are known to be microscale endemics of certain mountain ranges, we posit that other new species will be found in the Balkans in future.Species of the Potamophylaxhumoinsapiens sp. n. is the second known endemic caddisfly species occurring only in the Kosovan part of the Sharr Mountains, the first one being Drusussharrensis Ibrahimi, Ku\u010dini\u0107 & Vitecek, 2015. This part of the Sharr Mountains represents the spring and upstream area of two rivers, namely Lepenc and Lumbardhi i Prizrenit. During the past decade, both rivers have deteriorated heavily, primarily by construction of dams and hydropower plants, illegal logging and pollution. Some of these activities occur in the very vicinity of the freshwater ecosystems where the new species is found. During the sampling of 2021, the new species was not found at one of the localities where it was sampled during 2009. Although large areas of upstream segments of both rivers are within the borders of the protected area, more law enforcement activities in the field are needed in order to protect unique freshwater diversity of this part of the Sharr Mountains, including the newly-described species Potamophylaxhumoinsapiens sp. n."}
+{"text": "Abstract: ; Results: 9678 participants .There were some errors in the original publication in the Abstract and Results sections . AbstracAbstract, line 6: ; Results, Paragraph 1, line 1: 9775 participants .A correction has been made to The authors state that the scientific conclusions are unaffected. This correction was approved by the Academic Editor. The original publication has also been updated."}
+{"text": "The Department of Acute Kidney Injury (IRA) of the Brazilian Society of Nephrology prepared this document for the purpose of standardizing AKI terminology and dialysis modalities in the Portuguese language for Brazil. Several terms with similar meanings have been used in AKI and its dialysis modalities, causing confusion and disparities among patients, nephrologists, health institutions, private care companies, insurance companies and government entities. These disparities can impact medical care, hospital organization and care, as well as the funding and reimbursement of AKI-related procedures. Thus, consensual nomenclature and definitions were developed, including the definitions of AKI, acute kidney disease (AKD) and chronic kidney disease (CKD). Additionally, we addressed all dialysis modalities and extracorporeal procedures related to AKI, currently approved and available in the country. The Brazilian Society of Nephrology hopes that this Consensus can standardize the terminology and provide technical support to all involved in AKI care in Brazil. Acute kidney injury (AKI) is a frequent complication in hospitalized patients, especially in ICUs, still causing high rates of morbidity and mortality. AKI can also occur in outpatients and in the community, often related to socioeconomic and cultural conditions. Several terms with similar meanings have been used in AKI and its dialysis modalities, causing confusion and disparities among patients, nephrologists, healthcare institutions, private care companies, insurance companies and government entities. These disparities can impact medical care, hospital organization and care, as well as the funding and reimbursement of AKI-related procedures. Thus, we worked on the terminology and consensual definitions, including the definitions of AKI, acute kidney disease (AKD) and chronic kidney disease (CKD). Additionally, all dialysis modalities and extracorporeal procedures related to AKI, currently approved and available in the country, were addressed in this document by the AKI Department of the Brazilian Society of Nephrology.. An additional advantage of using the term \u201cinjury\u201d is that it encompasses initial cases with cellular and tissue functional alterations to cases of established anatomical lesions. Therefore, it is suggested to avoid the term acute kidney lesion (AKL), which would be restricted to cases of anatomic kidney lesion.Preferably, use the term Acute Kidney Injury, in order to maintain the acronym AKI, which is well established and widespread in our country. In addition, the term was also approved in the Ibero-American Consensus on the Uniformity of Nomenclatures, observing the deliberations proposed by the Kidney Disease: Improving Global Outcomes (KDIGO) panelWe must also avoid the term \u201cfailure\u201d, as it denotes a more advanced stage of renal failure.2 or when dialysis is required .- Single-pass albumin dialysis. Single-pass albumin dialysis (SPAD).- Hemoperfusion to remove bilirubin and bile salts (uses the same system as hemoperfusion to remove medium molecules).Note: Therapeutic plasma exchange may be considered as artificial liver support.2). Extracorporeal CO2 removal (ECCO2R).- Extracorporeal removal of carbon dioxide and high partition (high cutoff).- Dialysis solution: polyelectrolytic concentrate for hemodialysis.- Anticoagulation: heparin (unfractionated or low molecular weight), citrate or without anticoagulation.- Place of treatment: preferably in individualized rooms, rooms for hemodialysis or in intensive and semi-intensive care units.- Duration: up to 6 hours.- Technique: hemofiltration.- Removal mechanism: convection.- Equipment: hemodialysis machine and machines capable of performing ultrafiltration alone.- Device: membrane filters with biocompatible polymer.- Filter type: low flow, high flow, medium partition (medium cutoff) and high partition (high cutoff).- Dialysis solution: not applicable.- Anticoagulation: heparin (unfractionated or low molecular weight), citrate or without anticoagulation.- Place of treatment: preferably in individualized rooms, rooms for hemodialysis or in intensive and semi-intensive care units.- Duration: up to 6 hours.- Technique: hemodialysis and hemofiltration.- Removal mechanism: diffusion and convection.- Equipment: hemodialysis machine with module for hemodiafiltration.- Device: membrane filters with biocompatible polymer.- Filter type: high flow.- Dialysis and replacement solution: polyelectrolytic concentrate for hemodialysis.- Anticoagulation: heparin (unfractionated or low molecular weight), citrate or without anticoagulation.- Place of treatment: preferably in individualized rooms, hemodialysis rooms or in intensive and semi-intensive care units, with ultrapure water criteria.- Duration: 6 to 12 hours.- Technique: hemodialysis.- Removal mechanism: diffusion.- Equipment: hemodialysis machine.- Device: membrane filters with biocompatible polymer.- Filter type: low flow, high flow, medium partition (medium cutoff) and high partition (high cutoff).- Dialysis solution: polyelectrolytic concentrate for hemodialysis.- Anticoagulation: heparin (unfractionated or low molecular weight), citrate or without anticoagulation.- Place of treatment: preferably in individualized rooms, rooms for hemodialysis or in intensive and semi-intensive care units.- Duration: 6 to 12 hours.- Technique: hemofiltration.- Removal mechanism: convection.- Equipment: hemodialysis machine and machines capable of performing ultrafiltration alone.- Device: membrane filters with biocompatible polymer.- Filter type: low flow, high flow, medium partition (medium cutoff) and high partition (high cutoff).- Dialysis solution: not applicable.- Anticoagulation: heparin (unfractionated or low molecular weight), citrate or without anticoagulation.- Place of treatment: preferably in individualized rooms, rooms for hemodialysis or in intensive and semi-intensive care units.- Duration: 6 to 12 hours.- Technique: hemodialysis and hemofiltration.- Removal mechanism: diffusion and convection.- Equipment: hemodialysis machine with module for hemodiafiltration.- Device: membrane filters with biocompatible polymer.- Filter type: high flow.- Dialysis and replacement solution: polyelectrolytic concentrate for hemodialysis.- Anticoagulation: heparin (unfractionated or low molecular weight), citrate or without anticoagulation.- Place of treatment: preferably in individualized rooms, rooms for hemodialysis or in an intensive and semi-intensive care unit, with ultrapure water.- Duration: > 12 hours.- Technique: hemodialysis, hemofiltration or hemodiafiltration.- Removal mechanism: diffusion, convection and adsorption.- Equipment: continuous hemodiafiltration machine with autonomy for uninterrupted operation for more than 24 hours.- Device: membrane filters with biocompatible polymer.- Filter type: high flow and high partition (high cutoff).- Dialysis and replacement solution: specific electrolyte solutions for continuous hemodiafiltration.- Anticoagulation: heparin (unfractionated or low molecular weight), citrate or without anticoagulation.- Place of treatment: intensive and semi-intensive care units and surgical center.- Duration: > 12 hours.- Technique: hemofiltration.- Removal mechanism: convection.- Equipment: continuous hemodialysis machines and specific equipment for isolated ultrafiltration, with autonomy for uninterrupted operation of more than 24 hours.- Device: membrane filters with biocompatible polymer.- Filter type: low or high flow.- Dialysis and replacement solution: not applicable.- Anticoagulation: heparin (unfractionated or low molecular weight), or without anticoagulation.- Place of treatment: intensive and semi-intensive care units and surgical center.- Duration: up to 12 hours.- Volume: up to 12 L.- Technique: peritoneal dialysis.- Removal mechanism: diffusion.- Equipment: not applicable.- Solutions: hypertonic glucose or icodextrin.- Anticoagulation: not applicable.- Place of treatment: preferably in individualized rooms, rooms for hemodialysis or in intensive and semi-intensive care units.- Duration: > 12 hours.- Standard volume: up to 12 L.- Technique: peritoneal dialysis.- Removal mechanism: diffusion.- Equipment: not applicable.- Anticoagulation: not applicable.- Solutions: hypertonic glucose, icodextrin.- Place of treatment: preferably in individualized rooms, rooms for hemodialysis or in intensive and semi-intensive care units.- Duration: up to 12 hours.- Standard volume: up to 12 L.- Technique: peritoneal dialysis.- Removal mechanism: diffusion.- Equipment: cycling machine.- Solutions: hypertonic glucose or icodextrin.- Anticoagulation: not applicable.- Place of treatment: preferably in individualized rooms, rooms for hemodialysis or in intensive and semi-intensive care units.Note: the term \u201cautomated\u201d implies the need for a specific machine for this therapy.- Duration: > 12 hours.- Standard volume: up to 12 L.- Technique: peritoneal dialysis.- Removal mechanism: diffusion.- Equipment: cycling machine.- Solutions: hypertonic glucose.- Anticoagulation: not applicable.- Place of treatment: preferably in individualized rooms, rooms for hemodialysis or in intensive and semi-intensive care units.- Duration: > 12 hours.- Standard volume: > 12 L up to 42 L.- Technique: peritoneal dialysis.- Removal mechanism: diffusion.- Equipment: cycling machine.- Solutions: hypertonic glucose.- Anticoagulation: not applicable.- Place of treatment: preferably in individualized rooms, rooms for hemodialysis or in intensive and semi-intensive care units.- Duration: 2-6 hours.- Technique: hemofiltration.- Removal mechanism: convection limited by the size of the molecule.- Equipment: hemodialysis or continuous hemodiafiltration machine with plasmapheresis module.- Device: membrane filters with biocompatible polymer.- Filter type: plasma filter.- Replacement solution: solution with human albumin, fresh frozen plasma or cryoprecipitate.- Anticoagulation: heparin (unfractionated or low molecular weight), citrate or without anticoagulation.- Place of treatment: preferably in individualized rooms, rooms for hemodialysis or in intensive and semi-intensive care units.- Duration: 2-6 hours.- Technique: centrifugation.- Removal mechanism: sedimentation by specific gravity.- Equipment: centrifuge machine.- Device: not applicable.- Filter type: not applicable.- Replacement solution: solution with human albumin, fresh frozen plasma or cryoprecipitate.- Anticoagulation: heparin (unfractionated or low molecular weight), citrate or without anticoagulation.- Place of treatment: preferably in individualized rooms, rooms for hemodialysis or in intensive and semi-intensive care units.- Duration: 2-24 hours.- Technique: hemoperfusion.- Removal mechanism: adsorption.- Equipment: hemodialysis machines, continuous procedure machines or specific machines for hemoperfusion, or cartridges connected to the extracorporeal circulation circuit or to the extracorporeal membrane oxygenation (ECMO) circuit, in these situations without the need for specific equipment.- Device: cartridges with resins or microspheres.- Filter type: not applicable.- Dialysis and replacement solution:- In case of use of a specific machine for hemoperfusion: not applicable.- If using a hemodialysis or hemofiltration machine: specific electrolyte solutions.- In case of use of continuous hemodiafiltration machine: specific electrolyte solutions for continuous hemodiafiltration.- Anticoagulation: heparin (unfractionated or low molecular weight), citrate or without anticoagulation.- Place of treatment: preferably in individualized rooms, rooms for hemodialysis, intensive care unit, semi-intensive care unit and surgical center.- Duration: 2-4 hours.- Technique: hemoperfusion.- Removal mechanism: adsorption.- Equipment: specific machine for hemoperfusion, hemodialysis machine or continuous hemodiafiltration connected in series with the pre- or post-filter extracorporeal circuit.- Device: cartridge with synthetic resins with specific adsorptive capacity.- Filter type: not applicable.- Dialysis and replacement solution:- In case of use of a specific machine for hemoperfusion: not applicable.- If using a hemodialysis or hemofiltration machine: specific electrolyte solutions.- In case of use of continuous hemodiafiltration machine: specific electrolyte solutions for continuous hemodiafiltration.- Anticoagulation: heparin (unfractionated or low molecular weight), citrate or without anticoagulation.- Place of treatment: intensive and semi-intensive care unit.- Duration: 6-8 hours.- Technique: hemodialysis and perfusion for regeneration of the albumin solution.- Removal mechanism: diffusion and adsorption by albumin.- Equipment: specific machine coupled to a continuous hemodiafiltration or hemodialysis machine.- Device: membrane filters with biocompatible polymer, with parallel circuit of activated carbon cartridge and ion exchanger cartridge, for recirculation of solution with albumin.- Type of filter: low flow and high flow .- Dialysis and replacement solution: specific electrolyte solutions for continuous hemodiafiltration. Human albumin solution for the parallel circuit.- Anticoagulation: heparin (unfractionated or low molecular weight), citrate or without anticoagulation.- Place of treatment: intensive and semi-intensive care unit.- Duration: 6-8 hours.- Technique: hemodialysis.- Removal mechanism: diffusion.- Equipment: continuous hemodiafiltration machine with autonomy for uninterrupted operation for more than 24 hours.- Device: membrane filters with biocompatible polymer.- Filter type: high flow and high partition (high cutoff).- Dialysis solution: specific electrolyte solutions for continuous hemodiafiltration with the addition of human albumin.- Anticoagulation: heparin (unfractionated or low molecular weight), citrate or without anticoagulation.- Place of treatment: preferably in individualized rooms, rooms for hemodialysis or in intensive and semi-intensive care units.- Duration: 2-24 hours.- Technique: hemoperfusion.- Removal mechanism: adsorption.- Equipment: hemodialysis machines, continuous procedure machines or specific machines for hemoperfusion, or cartridges connected to the extracorporeal circulation circuit or to the extracorporeal blood oxygenation (ECMO) circuit, in these situations without the need for specific equipment.- Device: cartridges with resins or microspheres.- Filter type: not applicable.- Dialysis and replacement solution:- In case of use of a specific machine for hemoperfusion: not applicable.- If using a hemodialysis or hemofiltration machine: specific electrolyte solutions.- In case of continuous hemodiafiltration machine use: specific electrolyte solutions for continuous hemodiafiltration.- Anticoagulation: heparin (unfractionated or low molecular weight), citrate or without anticoagulation.- Place of treatment: preferably in individualized rooms, rooms for hemodialysis, intensive care unit, semi-intensive care unit and surgical center.- Duration: >48 h.- Technique: hemodialysis.- Removal mechanism: diffusion of gases.- Equipment: specific machine for hemoperfusion, continuous hemodiafiltration machine coupled to the oxygenating membrane.- Device: oxygenating membrane.- Filter type: not applicable.- Sweep gas: oxygen.- Dialysis and replacement solution:- In case of use of a specific machine for hemoperfusion: not applicable.- In case of use of continuous hemodiafiltration machine: specific electrolyte solutions for continuous hemodiafiltration.- Anticoagulation: heparin (unfractionated or low molecular weight) or without anticoagulation.- Place of treatment: intensive care unit.The AKI Department of the Brazilian Society of Nephrology prepared this document in order to standardize the terminology and definitions related to AKI.Terminology and consensual definitions were addressed, including definitions of AKI, acute kidney disease (AKI) and chronic kidney disease (CKD). All dialysis modalities and extracorporeal procedures related to AKI, currently approved and available in the country, were described. The Brazilian Society of Nephrology hopes that this Consensus can standardize the terminology and provide technical support to all sectors involved in AKI assistance in Brazil."}
+{"text": "Glycinemax) is a major source of edible oil and protein. A novel species of the genus Pythium, Pythiumhuanghuaiense, isolated from soybean seedlings in China, is described and illustrated on the basis of morphological characters and molecular evidence.Soybean (Pythiumhuanghuaiense sp. nov. is closely related to species of the genus Pythium in clade F, as evidenced by the presence of hyphal swellings and its relatively rapid morphological growth. However, it differs by having relatively small sporangia and plerotic or nearly plerotic and thin-walled oospores. A pathogenicity test confirmed the newly-identified species as a pathogen of soybean. Pythium Pringsheim are diverse, occupying a variety of habitats , wheat (Triticum spp.) and corn (Zeamays) . Some Pyic fungi . To datein China .Pythium in the Huang-Huai Valley, a novel species of clade F was identified, based on morphological characters and molecular phylogenetic analyses of internal transcribed spacer (ITS) and cytochrome c oxidase subunit I (Cox1) sequence data. The novel species is described and illustrated in this work. Moreover, comparisons of the novel species with morphologically and phylogenetically related species are also provided.Huang-Huai Valley is one of the main areas of soybean farming in China, covering an enormous area in Shandong, Anhui, Jiangsu and Henan Provinces between the Yellow River and the Haihe River. During the studies on the diversity of During April and August 2016, 60 plants of soybean cultivar 'Hefeng 47' exhibiting seedling blight, damping off and root rot were collected from three fields in the Huang-Huai region of China. 'Hefeng 47' is commonly grown in the Huang-Huai Valley. The fields were located in Jining of Shandong Province, Suzhou of Anhui Province and Nanjing of Jiangsu Province, which are representative geographic locations in the Huang-Huai region. Soybean plants were sampled from fields at approximately 10 m intervals along a 150 m transect laid out in a \u201cW\u201d pattern.Soybean plants were washed three times with sterile water and six sections of 0.5\u20131 cm length were cut from the roots of each plants using a sterile scalpel. One section was taken from the root tip, one from the interface between the hypocotyl and soil and the others at either the middle of the root or a symptomatic area along the length of the root. The sections were blotted dry and embedded in selective V8 juice agar (V8A) containing rifampicin (50 mg/l), ampicillin (50 mg/l) and pentachloronitrobenzene (50 mg/l) and incubated for 2\u20133 days in the dark at 25\u00b0C. When mycelial growth was observed, cultures were purified by transferring a small piece of medium with mycelium at the edge of a colony to fresh medium or by transferring a single hyphal tip on to water agar three times.The cultures studied were deposited in the Herbaria of the Institute of Microbiology, Beijing Forestry University (BJFC), Beijing, China; the College of Plant Protection, Nanjing Agricultural University (NJAU), Nanjing, China; and the College of Landscape Architecture, Jiangsu Vocational College of Agriculture and Forestry (JAFLA), Zhenjiang, China. Purified isolates were examined after incubation for 2\u20133 days at 25\u00b0C on V8A in the dark. Colony patterns of the representative isolate of the novel species were examined after incubation for 3 days at 25\u00b0C on corn meal agar (CMA), potato carrot agar (PCA) and V8A media . IsolateDNA extraction, amplification, sequencing and sequence alignmentA cetyl trimethylammonium bromide (CTAB) rapid plant genome extraction kit was used to extract total genomic DNA from purified isolates and the polymerase chain reaction (PCR) was performed according to the manufacturer\u2019s instructions . PCR amphttp://purl.org/phylo/treebase; submission ID S24209).Sequences, generated in this study, were aligned with additional sequences downloaded from GenBank Table using ClPhylogenetic analysesSaprolegniaparasitica Coker were used as outgroups ; language: enType status:Paratype. Occurrence: recordedBy: Jiajia Chen; Taxon: scientificName: Pythiumhuanghuaiense; class: Oomycetes; order: Pythiales; family: Pythiaceae; genus: Pythium; Location: country: China; stateProvince: Jiangsu; locality: Nanjing, Jiangning District, Pengfu Village; Identification: identifiedBy: Jiajia Chen & Xiaobo Zheng; Event: year: 2016; month: 4; day: 1; habitat: Glycinemaxon seedlings of ; Record Level: type: Chen 95 & Chen 96 ; language: enType status:Paratype. Occurrence: recordedBy: Jiajia Chen; Taxon: scientificName: Pythiumhuanghuaiense; class: Oomycetes; order: Pythiales; family: Pythiaceae; genus: Pythium; Location: country: China; stateProvince: Anhui; locality: Suzhou; Identification: identifiedBy: Jiajia Chen & Xiaobo Zheng; Event: year: 2016; month: 7; habitat: Glycinemaxon seedlings of ; Record Level: type: Chen 99 ; language: enType status:Paratype. Occurrence: recordedBy: Jiajia Chen; Taxon: scientificName: Pythiumhuanghuaiense; class: Oomycetes; order: Pythiales; family: Pythiaceae; genus: Pythium; Location: country: China; stateProvince: Shandong; locality: Jining; Identification: identifiedBy: Jiajia Chen & Xiaobo Zheng; Event: year: 2016; month: 8; habitat: Glycinemaxon seedlings of ; Record Level: type: Chen 100 ; language: enType status:Other material. Occurrence: recordedBy: Jiajia Chen; Taxon: scientificName: Pythiumhuanghuaiense; class: Oomycetes; order: Pythiales; family: Pythiaceae; genus: Pythium; Location: country: China; stateProvince: Jiangsu; locality: Nanjing, Jiangning District, Pengfu Village; Identification: identifiedBy: Jiajia Chen & Xiaobo Zheng; Event: year: 2016; month: 4; day: 29; habitat: Glycinemaxon seedlings of ; Record Level: type: JAFLA 94, NJAU-JN11 ; language: enPathogenic on soybean. Colonies submerged, with a cottony pattern on CMA, a rosette pattern on PCA and a cottony pattern on 10% V8A Fig. . CardinaWith reference to the distribution of the species in the Huang-Huai area of China.Pythiumhuanghuaiense can be distinguished morphologically from its closest relatives, including P.mamillatum Meurs, P.paroecandrum Drechsler, P.spiculum B. Paul and P.wuhanense Y.Y. Long, J.G. Wei & L.D. Guo, by its narrower hyphae and relatively higher maximum growth rate. Additional differences between the novel species and other related species are listed in Table Pythium , representing an unknown species of Pythium, were obtained from soybean plant samples collected from three fields in three cities during April and August 2016.Five cultures of Pythiumhuanghuaiense, showed the best phylogenetic matches with species of clade F in Pythium , indicating that they are phylogenetically distinct from other species of clade F in Pythium significantly stunted and reduced the growth of soybean seedlings compared with uninoculated controls ; mostly monoclinous, sometimes hypogynous antheridia; sub-globose, club-shaped or fist-shaped antheridial cells; and plerotic or nearly plerotic and thin-walled oospores (0.5\u20131.5 \u00b5m).Pythium can be split into 11 clades (A-K), of which clade F is composed of species with either globose, non-proliferating sporangia or globose hyphal swellings (only P.irregulare Buisman develops both) and a fast growth rate was highly pathogenic on soybean and wheat (Pythium spp. associated with soybean in China, the novel species, P.huanghuaiense, was identified and described in this study on the basis of morphological characteristics and ITS and Cox1 sequence data. Additional pathogenicity tests and studies on the economic impact of P.huanghuaiense on soybean and other crop plants will be conducted in the future.Soybean is a major source of edible oil and protein and plays an important role in the human diet. Many species of such as . Howevernd wheat . As part"}
+{"text": "Publisher Correction to: BMC Biol 9, 44 (2021)https://doi.org/10.1186/s12915-021-00980-yFollowing publication of the original article , the autThe correct tagging of the author name is:Given name: Hye InFamily name: KaThis results in the correct citation information for this author on Pubmed as: Ka HI.The metadata of the original article has been"}
+{"text": "Diptera: Cecidomyiidae) inducing leaf bud galls on MagnoliakobusDC.var.borealis Sarg. (Magnoliaceae) was found in Hokkaido and northern Honshu, Japan.A gall midge species . The species is herein described as Pseudasphondyliasaohimea Matsuda, Elsayed and Tokuda sp. n. The new species is easily distinguishable from its congeners by the number of adult palpal segments and the shape of the male terminalia and larval spatula.Based on its morphology, the species is regarded as an undescribed species of the genus Pseudasphondylia (Diptera: Cecidomyiidae: Asphondyliini) includes 11 species associated with various plant families (P.elaeocarpi Tokuda and Yukawa on Elaeocarpuszollingeri K.Koch (= E.sylvestrisvar.ellipticus Hara) (Elaeocarpaceae), P.kiritanii Tokuda & Yukawa on Cornuscontroversa Hemsl. ex Prain (Cornaceae), P.matatabi (Yuasa & Kumazawa) on Actinidiapolygama (Siebold et Zucc.) Planch. ex Maxim. (Actinidiaceae), P.neolitseae Yukawa on Neolitseasericea (Blume) Koidz. (Lauraceae), P.rokuharensis Monzen on Viburnumdilatatum Thunb. (Caprifoliaceae) and P.tominagai Elsayed & Tokuda on Eleutherococcusspinosus (L.f.) S.Y.Hu . They haliaceae) . In addiliaceae) and otheliaceae) .MagnoliakobusDC.var.borealis Sarg. (Magnoliaceae) in Tomakomai, Hokkaido and Aomori Prefecture, Honshu, Japan. Based on morphological comparison, we concluded that the gall midge is a member of Pseudasphondylia. We describe the species as new to science and discuss the phylogenetic relationships amongst Japanese congeners on the basis of molecular analysis. We also compare its life history strategy with those of the Japanese congeners.In recent years, we found an undescribed species of asphondyliine gall midge that induces leaf bud galls on M.kobusvar.borealis . A 472 bp fragment of the mitochondrial gene cytochrome oxidase subunit I (COI) of the species from leaf galls of M.kobusvar.borealis and P.tominagai was sequenced and aligned following P.elaeocarpi was sequenced using the primer set: COIS (5\u2019\u2013GGA TCA CCT GAT ATA GCA TTC CCA TAT TGG\u20133\u2019) and COIA (5'\u2013CCC GGT AAA ATT AAA ATA TAA ACT TC\u20133\u2019) . The seqT TC\u20133\u2019) and depoPseudasphondylia and four species of Asphondylia were downloaded from the GenBank and used as ingroup taxa: P.rokuharensis (LC538357), P.kiritanii (LC538356), P.matatabi (AB085873) (P.neolitseae (AB334237) (Asphondyliatojoi Elsayed and Tokuda (LC373200) (A.aucubae Yukawa & Ohsaki (AB238595) (A.yushimai Yukawa and Uechi (AB194473) (A.sphaera Monzen (AB197945) (Ampelomyiaconicocoricis Elsayed and Tokuda (LC422091) (Gephyrauluszewaili Elsayed and Tokuda (LC270942) , P.neolB334237) , AsphondC373200) , A.aucuB238595) , A.yushB194473) and A.sB197945) . GenBankC422091) and GephC270942) . These sC270942) .Matsuda, Elsayed & Tokudasp. n.34B09DDF-9268-5078-8309-13576CB34083C7679EFB-7E8C-4157-A5AE-C618D2D82B28Type status:Holotype. Occurrence: sex: male; lifeStage: adult; Taxon: order: Diptera; family: Cecidomyiidae; genus: Pseudasphondylia; specificEpithet: saohimea; taxonRank: species; nomenclaturalCode: ICZN; Location: country: Japan; stateProvince: Aomori; locality: Ashizaki, Mutsu City; Event: samplingProtocol: Magnoliakobusvar.borealis (Magnoliaceae) collected on 10.v.2015 by S. Yamauchireared from a leaf bud gall on Type status:Paratype. Occurrence: individualCount: 7; sex: males; lifeStage: adult; Taxon: order: Diptera; family: Cecidomyiidae; genus: Pseudasphondylia; specificEpithet: saohimea; taxonRank: species; nomenclaturalCode: ICZN; Location: country: Japan; stateProvince: Aomori; locality: Ashizaki, Mutsu City; Event: samplingProtocol: Magnoliakobusvar.borealis (Magnoliaceae) collected on 10.v.2015 by S. Yamauchireared from leaf bud galls on Type status:Paratype. Occurrence: individualCount: 8; sex: females; lifeStage: adult; Taxon: order: Diptera; family: Cecidomyiidae; genus: Pseudasphondylia; specificEpithet: saohimea; taxonRank: species; nomenclaturalCode: ICZN; Location: country: Japan; stateProvince: Aomori; locality: Ashizaki, Mutsu City; Event: samplingProtocol: Magnoliakobusvar.borealis (Magnoliaceae) collected on 10.v.2015 by S. Yamauchireared from leaf bud galls on Type status:Paratype. Occurrence: individualCount: 3; lifeStage: mature larvae; Taxon: order: Diptera; family: Cecidomyiidae; genus: Pseudasphondylia; specificEpithet: saohimea; taxonRank: species; nomenclaturalCode: ICZN; Location: country: Japan; stateProvince: Aomori; locality: Ashizaki, Mutsu City; Event: samplingProtocol: collected on 19.v.2019 by S. Yamauchi at the type localityType status:Paratype. Occurrence: individualCount: 4; lifeStage: pupal exuviae; Taxon: order: Diptera; family: Cecidomyiidae; genus: Pseudasphondylia; specificEpithet: saohimea; nomenclaturalCode: ICZN; Location: country: Japan; stateProvince: Aomori; locality: Ashizaki, Mutsu City; Event: samplingProtocol: Magnoliakobusvar.borealis (Magnoliaceae) collected on 10.v.2015 by S. Yamauchireared from a leaf gall on Type status:Paratype. Occurrence: individualCount: 3; sex: females; lifeStage: adult; Taxon: order: Diptera; family: Cecidomyiidae; genus: Pseudasphondylia; specificEpithet: saohimea; taxonRank: species; nomenclaturalCode: ICZN; Location: country: Japan; stateProvince: Hokkaido; locality: Takaoka , Tomakomai City; Event: samplingProtocol: collected on 31.v.2015 by M. LibraType status:Paratype. Occurrence: individualCount: 1; sex: male; lifeStage: adult; Taxon: order: Diptera; family: Cecidomyiidae; genus: Pseudasphondylia; specificEpithet: saohimea; taxonRank: species; nomenclaturalCode: ICZN; Location: country: Japan; stateProvince: Hokkaido; locality: Takaoka , Tomakomai City; Event: samplingProtocol: collected on 31.v.2015 by M. LibraHead .Pseudasphondyliasaohimea is univoltine. Third instars and pupae were found in the galls in mid-May and adults emerged directly from the galls in mid- to late May. All mature galls collected in July were empty, indicating that no individuals had entered long-term diapause. In rearing conditions, adults emerged in the morning and mated around 11:00 h, suggesting that the gall midge is a diurnal species. The adults are supposed to oviposit into host buds. First instars were found in undeveloped bud galls in late September. They possibly overwinter in the undeveloped bud galls and develop to the second and third instars in the following spring.MagnoliakobusDC.var.borealis Sarg. (Magnoliaceae), \u201cKita-kobushi\u201d in Japanese.Pseudasphondyliasaohimea induces hairy leaf bud galls on Magnoliakobusvar.borealis (Magnoliaceae). The galled buds remain closed and indistinguishable in appearance from ungalled buds until the following spring and rapidly grow with bud burst. Mature galls are 2.7\u20136.0 mm in diameter and 5.1\u201313.7 mm in length (n = 45). Galls are multi-chambered and each chamber contains a single gall midge larva.Pseudocatolaccus sp. from Hokkaido and Aomori, Torymus sp. (Torymidae) from Hokkaido and Eurytoma sp. (Eurytomidae) from Aomori.The following three species of hymenopteran parasitoids were reared from the mature galls: P.neolitseae and four in P.rokuharensis, P.kiritanii and P.tominagai. Although P.matatabi and P.elaeocarpi have three-segmented palpi, they are easily distinguished from the new species by their cerci which are shorter than the hypoproct. The larval spatula of the new species has four lobes of which the outer two are longer than the inner two. However, the larval spatula of P.neolitseae has only two lobes anteriorly and the other species have four lobes of which the inner two are longer than the outer two. In the pupa, five pairs of long abdominal spiracles are present in the new species, while only three pairs are present in P.rokuharensis, P.kiritanii, P.elaeocarpi and P.tominagai and four pairs in P.matatabi. The pupa of P.neolitseae, which has five pairs of abdominal spiracles, is otherwise similar to the new species, but it can be distinguished by dorsal abdominal spines that are markedly shorter than in P.saohimea.The new species is distinguishable from most of its other congeners in Japan by the number of palpal segments: three in the new species, but two in Pseudasphondylia species in P.saohimea will run to couplet 5 that separates P.matatabi and P.elaeocarpi. In order to update the key and include P.saohimea, couplet 5 is amended and a sub-couplet is added as in Table In the key to the males of world Pseudasphondylia species constructed a monophyletic clade relatively supported by 65% bootstrap value. Although P.saohimea constructed a clade with P.rokuharensis, their bootstrap support was lower than 50%. Genetic divergence of P.saohimea and the other Japanese Pseudasphondylia species was high and ranging between 15% to 21% .In the ML tree Fig. , PseudasP.saohimea is distinct from its congeners in Japan, although phylogenetic relationships amongst Pseudasphondylia species were not revealed in the analyses, except for the sister group relationship of P.kiritanii and P.tominagai. Pseudasphondylia was hypothesised to be an ancient clade within the subtribe Asphondyliina oviposit into axillary overwintering buds of Styraxjaponica Siebold and Zucc. (Styracaceae) and its larvae spend summer, autumn and winter as the first instar in the host buds; then, galls and larvae rapidly grow, coinciding with host bud burst , overwinters as the first instar in inconspicuous overwintering buds, although this species is multivoltine and repeatedly uses axillary buds throughout the year , Procontarinia on Mangifera (Anacardiaceae), Rabdophaga on Salix and Semudobia on Betula (Betulaceae) . Pseudases level ."}
+{"text": "Specifically, the order of the bar graphs was incorrect: Sigmoidal input; No input; Linear; Quadratic. Instead, the correct order is: No input; Sigmoidal input; Linear; Quadratic. The corrected version of this figure now appears in the paper."}
+{"text": "N/A C.iwatai was collected from Yunnan: Baoshan, instead of Yunnan: Menglian Dai; C.kaihuanus was collected from Yunnan: Jinghong, instead of Yunnan: Guangnan county; and C.filippovi was collected from Sichuan: Mount Emei, instead of Sichuan: Emeishan city.It has come to our attention that in the work referenced above, Figure"}
+{"text": "Following the publication of the original article , the autThe incorrect author name is: Julia Klensney-Tait.The correct author names is: Julia Klesney-Tait.The original article has been"}
+{"text": "After publication of the original article , the autThe incorrect authors\u2019 names are:Danielle da Costa: given name.da Palacio: family name.Camila Monteiro: given name.Nascimento: family name.The correct authors\u2019 names are:Danielle: given name.da Costa Palacio: family name.Camila: given name.Nascimento Monteiro: family name.The author group has been updated above and the original article has been"}
+{"text": "Following publication of the original article , the autThe incorrect and correct Figure 9 are published in this Correction article. The original article has been updated.Figure 9 before correction: :Corrected Fig."}
+{"text": "The correct name is: Agata Sielska. The correct citation is: Sielska A (2021) Determinants of hospital inefficiency. The case of Polish county hospitals. PLoS ONE 16(8): e0256267."}
+{"text": "There is an error in the second author\u2019s affiliation. The correct affiliation is: European Commission, Joint Research Centre (JRC), 21027 Ispra (VA), Italy."}
+{"text": "The online version has been amended.In this paper by Jasper Tromp and colleagues (BMJ 2021;372:n461, doi:"}
+{"text": "Corrigendum to: Drivers of stunting reduction in Peru: a country case study. Am J Clin Nutr 2020;112:816S\u2013829S.In the originally published version of this article, there was an error in the author, Aviva I Rappaport's full name. This has now been corrected online."}
+{"text": "The authors wish to correct the Funding statement of their article to:Wellcome Trust; BBSRC. Funding for open access charge: Institutional award from Wellcome (103857/Z/14/Z) and RCUK (BB/R002851/1).This change does not affect the results, discussion and conclusions presented in the article. The published article has been updated."}
+{"text": "In the original article, Mueller et al. and Muel(A) zebrafish (B) mouse and (C) human brains. Am: amygdala; Ce: cerebellum; Ctx: cortex; Dp: dorsal pallium; Hip: hippocampus; Lp: lateral pallium; Mp: medial pallium; Th: thalmus; Vp: ventral pallium. Zebrafish image in (A) adapted from Mueller et al. (Figure 1. Comparison of homologous regions of the r et al. and Muelr et al. .The authors apologize for this error and state that this does not change the scientific conclusions of the article in any way. The original article has been updated."}
+{"text": "Micronecta (Micronecta) griseola Horvath, 1899 is a representative of water bugs of the family Corixidae. It is expanding its range eastwards according to our observations in Russia. In the last decade, the species has become more common in Western Siberia.M.griseola from the territory of the Middle Urals (Russia). The distribution of the species and the features of its biology are considered.The article presents the first records of Corixidae family and two species of the Gerridae family in the Polar Urals is given by A.N. Corixidae are mentioned. In a later work by A.N. Corixidae family for the Orenburg Region and adjacent areas of the middle reaches of the Ural River. In the generalising work of A.N. Corixidae are given for the Urals. However, information on the species of the subfamily Micronectinae Jaczewski, 1924 in all these works is absent. This article presents the first records of Micronecta (Micronecta) griseola Horvath, 1899 from the Middle Urals (Sverdlovsk region).Water bugs of the Urals and Cis-Urals have not been sufficiently studied to date. Information on the finding of two species of the Sirotinina, who worked at the Volga biostation near Saratov. All specimens of Micronecta were determined by her as M.minutissima , according to the European literature existing at that time. These data were repeated in our country by many faunists before the publication of the key to the European part of the USSR , despite the fact that the real M.minutissima was reliably recorded from Russia only in Karelia and the Leningrad Region.In connection with the development of the national economy of the country in the 1920s , the employees of biological stations carried out an intensive study of water bodies and their inhabitants - the fodder base of fish. Extensive material on water bugs from the Volga, Oka, Kama and other water bodies, collected by A.L. Benning and othethe USSR . The keyountries . A subseountries showed tM.minutissima from the Southern Urals from the Orenburg Region , with the preparation of male parameres and comparison with the collection.The collection of material in the Middle Urals was done in the eastern part of the Sverdlovsk Region in the spring-summer period of 2020. Small rivers of the Pyshma and Tura River Basins (Ob-Irtysh Basin) were investigated. The material was collected with a hydrobiological net, by catching water near the coast and mowing aquatic vegetation. The determination was made at the Horvath, 189984D76BB6-21E2-56C9-B86F-153896819731Type status:Other material. Occurrence: recordedBy: Vitaly Stolbov; lifeStage: 1 larva of the last instar; Taxon: kingdom: Animalia; phylum: Arthropoda; class: Insecta; order: Hemiptera; family: Corixidae; genus: Micronecta; subgenus: Micronecta; specificEpithet: griseola; scientificNameAuthorship: Horvath, 1899; Location: country: Russia; stateProvince: Sverdlovsk region; county: Slobodo-Turinsky district; locality: vicinity of the village Bobrovskoe; verbatimLocality: Bobrovka River, backwater, slow current, silty ground, depth 1 meter; verbatimElevation: 60 m a.s.l.; decimalLatitude: 57.498944; decimalLongitude: 64.148056; Identification: identifiedBy: Elena Kanyukova; Event: eventDate: 28.05.2020; Record Level: basisOfRecord: PreservedSpecimenType status:Other material. Occurrence: recordedBy: Vitaly Stolbov; lifeStage: 2 males, 9 larvae of the last instar; Taxon: kingdom: Animalia; phylum: Arthropoda; class: Insecta; order: Hemiptera; family: Corixidae; genus: Micronecta; subgenus: Micronecta; specificEpithet: griseola; scientificNameAuthorship: Horvath, 1899; Location: country: Russia; stateProvince: Sverdlovsk region; county: Irbitsky district; locality: vicinity of the village Chernovskoe; verbatimLocality: Kirga River, depth more than a meter, fast current, sandy-silty soil, stones; verbatimElevation: 60 m a.s.l.; decimalLatitude: 57.609778; decimalLongitude: 63.382833; Identification: identifiedBy: Elena Kanyukova; Event: eventDate: 28.05.2020; Record Level: basisOfRecord: PreservedSpecimenType status:Other material. Occurrence: recordedBy: Vitaly Stolbov; lifeStage: 1 larva of the last instar; Taxon: kingdom: Animalia; phylum: Arthropoda; class: Insecta; order: Hemiptera; family: Corixidae; genus: Micronecta; subgenus: Micronecta; specificEpithet: griseola; scientificNameAuthorship: Horvath, 1899; Location: country: Russia; stateProvince: Sverdlovsk region; county: Artyomovsky district; locality: vicinity of the village Antonovo; verbatimLocality: Sparganium sp.Borovaya River, depth 50 cm, fast current, muddy soil with separate stones, thread algae, ; verbatimElevation: 95 m a.s.l.; decimalLatitude: 57.544000; decimalLongitude: 62.361556; Identification: identifiedBy: Elena Kanyukova; Event: eventDate: 28.05.2020; Record Level: basisOfRecord: PreservedSpecimenType status:Other material. Occurrence: recordedBy: Vitaly Stolbov; lifeStage: 1 male, 252 1-2 instar larvae, 2 last instar larvae; Taxon: kingdom: Animalia; phylum: Arthropoda; class: Insecta; order: Hemiptera; family: Corixidae; genus: Micronecta; subgenus: Micronecta; specificEpithet: griseola; scientificNameAuthorship: Horvath, 1899; Location: country: Russia; stateProvince: Sverdlovsk region; county: Talitsky district; locality: Pripyshminskie Bory National Park; verbatimLocality: bypass channel of the Urga River, depth 30 cm, clay-sandy soil, fast current; verbatimElevation: 86 m a.s.l.; decimalLatitude: 56.976389; decimalLongitude: 63.681250; Identification: identifiedBy: Elena Kanyukova; Event: eventDate: 30.07.2020; Record Level: basisOfRecord: PreservedSpecimenM.griseola for the first time in the Sverdlovsk Region. Species of the genus Micronecta are the smallest representatives of the Corixidae family, the body length of the species ranges from 1.5 to 2.4 mm . In cold countries, one generation was recorded each summer (According to Wroblewski (1958), h summer . The larh summer .In a previous work , we discM.griseola. The date of collection of imagos and young larvae in the rivers of the Middle Urals on 30 July 2020, makes it possible to think that these adults belong to the second (summer) generation, which, after laying eggs, gives rise to wintering larvae. Although, like many insect species, Micronecta's breeding times are extended during the summer and may overlap.Finds of older larvae and some imagos in the last ten days of May in the Middle Urals make it possible to attribute them to overwintered individuals and to consider this time as the date of the appearance of the first generation of adults of ConclusionM.griseola was recorded in the Novosibirsk Region in 2010. All records from the southwest of Western Siberia in the Tyumen Region were made by authors within several years after 2017. Findings of M.griseola in large numbers in four rivers of the Sverdlovsk Region in 2020 suggest that this species has been actively spreading in recent years over the territory of the West Siberian Plain (Ob-Irtysh Basin).For the first time beyond the Urals, in Western Siberia, M.griseola in different countries have also been published (In Europe, in recent decades, data on new finds of ublished , which iM.griseola is also evidence of the ecological plasticity of the species. Often, the expansion of the ranges of aquatic organisms is associated with human economic activities - unintentional introduction and transformation of water bodies (M.griseola range requires additional research.The expansion of the ranges of a number of species in recent years has been noted in many regions, including Siberia. Often, in the case of terrestrial animal and plant species, this phenomenon is associated with global climate change . The sitr bodies . Identif"}
+{"text": "We regret the unprofessional behavior of the authors involved.hongruiyan001@163.com> (new email)Correspondence: Ruihong Yan: <"}
+{"text": "Museums and other institutions curating natural history collections (NHCs) are fundamental entities to many scientific disciplines, as they house data and reference material for varied research projects. As such, biological specimens preserved in NHCs represent accessible physical records of the living world's history. They provide useful information regarding the presence and distribution of different taxonomic groups through space and time. Despite the importance of biological museum specimens, their potential to answer scientific questions, pertinent to the necessities of our current historical context, is often under-explored.The currently-known wild bee fauna of Luxembourg comprises 341 registered species distributed amongst 38 different genera. However, specimens stored in the archives of local NHCs represent an untapped resource to update taxonomic lists, including potentially overlooked findings relevant to the development of national conservation strategies.Andrenalagopus , Nomadafurva , Hoplitispapaveris and Sphecodesmajalis . Additionally, the presence of Nomadasexfasciata , which inexplicably had been omitted by the most current species list, can be re-confirmed. Altogether, our findings increase the number of recorded wild bee species in Luxembourg to 346. Moreover, the results highlight the crucial role of NHCs as repositories of our knowledge of the natural world.We re-investigated the wild bee collection of the Zoology Department of the National Museum of Natural History Luxembourg by using morphotaxonomy and DNA barcoding. The collection revision led to the discovery of four species so far not described for the country: Natural history museums are important research and educational institutions, with a crucial role in the production and communication of scientific knowledge. Their associated natural history collections (NHCs) document what is known about the world\u2019s bio- and geodiversity, provide resources and reference material for scientific research and outreach and contribute to the very basis of formal educational programmes . ArchiveIn this study, we followed this approach and performed a revision of the wild bee collection material curated at the Zoology Department of the National Museum of Natural History Luxembourg to produce an updated species checklist of the wild bee fauna of Luxembourg. Additionally, specimens collected in 2019 during the pilot phase of the ongoing \"Atlas of the wild bee fauna of Luxembourg\u201d project were integrated in the analysis to evaluate the presence of potential new findings.Relevant entries of 5,908 wild bee voucher specimens stored in the database of the MNHNL were downloaded as spreadsheets to evaluate the presence and distribution of Luxembourgish and non-Luxembourgish species in the collection . SpecimeSpreadsheets were manipulated using R version 3.6.2 to identFrom the pilot phase of the wild bee atlas project, 16 specimens were selected for molecular identification via DNA barcoding. The BF2/BR2 primer pair was usedPotential new species discoveries originating from either the revised museum collection entries or the fieldwork material were inspected with a Keyence VHX-S660E digital microscope, using various morphological keys to evaluate diagnostic traits Table .11409551-665C-5A11-98D1-1B559156557BNomadafurva Common names: Nomade funeste (French), Schw\u00e4rzliche Wespenbiene (German)Type status:Other material. Occurrence: catalogNumber: MNHNL39915; recordedBy: Fernand Feitz; sex: male; lifeStage: adult; Taxon: scientificName: Nomadafurva ; order: Hymenoptera; family: Apidae; genus: Nomada; specificEpithet: furva; taxonRank: species; scientificNameAuthorship: ; vernacularName: Nomade funeste (French), Schw\u00e4rzliche Wespenbiene (German); Location: country: Luxembourg; locality: Remerschen; decimalLatitude: 49.4837; decimalLongitude: 6.3475; Identification: identifiedBy: Andrea Jakubzik; Event: samplingProtocol: Net; eventDate: 16-07-2004; Record Level: institutionCode: MNHNL; basisOfRecord: Preserved SpecimenNomada presenting yellow maculations in the margin of labrum, malar area, apex of clypeus and in front of the eyes dark coloured yes Fig. a and b. yes Fig. c. The dayes Fig. d. The layes Fig. e and theyes Fig. f.Voucher specimen (MNHNL39915): Adult male. Body length of 4.7 mm.Lasioglossum, with a flight season that extends from the end of April until mid-September \u201d, meaning that there is a lack of scientific information to assess extinction risk 67382451-6A9B-5F81-8BA9-F874E30E9C0FHoplitispapaveris Common names: Osmie du Coquelicot (French), Mohn-Mauerbiene (German).Type status:Other material. Occurrence: catalogNumber: MNHNL21866; recordedBy: Svenja Christian; sex: male; lifeStage: adult; Taxon: scientificName: Hoplitispapaveris ; order: Hymenoptera; family: Megachilidae; genus: Hoplitis; specificEpithet: papaveris; taxonRank: species; scientificNameAuthorship: ; vernacularName: Osmie du Coquelicot (French), Mohn-Mauerbiene (German); Location: country: Luxembourg; locality: Mertert; decimalLatitude: 49.70359; decimalLongitude: 6.48171; Event: samplingProtocol: Caught by hand; eventDate: 04-06-2015; Record Level: institutionCode: MNHNL; basisOfRecord: Preserved SpecimenMale: A medium sized (9-11 mm) mason bee with a black body covered in yellow-brown hair and short antennae Fig. a. TergitVoucher specimen (MNHNL21866): Adult male. Body length of 8.8 mm.Papaverrhoeas) to line the brood cells \u201d (rn (LC)\u201d , but it rn (LC)\u201d .61DAE441-E835-587B-8939-D61C404ED6DCNomadasexfasciata Common names: Nomade six-bandes (French), Langkopf-Wespenbiene (German), Six-banded Nomad Bee (English).Type status:Other material. Occurrence: catalogNumber: MNHNL25076; recordedBy: Fernand Feitz; sex: female; lifeStage: adult; Taxon: scientificName: Nomadasexfasciata ; order: Hymenoptera; family: Apidae; genus: Nomada; specificEpithet: sexfasciata; taxonRank: species; scientificNameAuthorship: ; vernacularName: Nomade six-bandes (French), Langkopf-Wespenbiene (German), Six-banded Nomad Bee (English); Location: country: Luxembourg; locality: Remich; decimalLatitude: 49.5479; decimalLongitude: 6.36037; Identification: identifiedBy: Andrea Jakubzik; Event: samplingProtocol: Net; eventDate: 05-05-2000; Record Level: institutionCode: MNHNL; basisOfRecord: Preserved SpecimenNomada species. Yellow maculations are present in the pronotal lobes, tegula, as two small spots on the scutellum and as large yellow spots on the sides of tergites 1-3, that become bands in tergites 4-5 black and yellow mm blackVoucher specimen (MNHNL25076): Adult female. Body length of 12 mm.Eucera nests, with a flight season spanning from late April until late July on the European continent (An univoltine species that parasites ontinent .Nomadasexfasciata is classified under the IUCN category \u201cLeast Concern (LC)\u201d (rn (LC)\u201d , but it rn (LC)\u201d .F86547C4-1DF0-5E0D-BFBD-11E2FF45A4DBAndrenalagopus Common names: Andr\u00e8ne deux-cellules (French), Zweizellige Sandbiene (German).Type status:Other material. Occurrence: catalogNumber: MNHNL100056; sex: female; lifeStage: adult; associatedSequences: BOLD: MNHNL162-21; Taxon: scientificName: Andrenalagopus ; order: Hymenoptera; family: Andrenidae; genus: Andrena; specificEpithet: lagopus; taxonRank: species; scientificNameAuthorship: ; vernacularName: Andr\u00e8ne deux-cellules (French), Zweizellige Sandbiene (German); Location: country: Luxembourg; locality: Kehlen; decimalLatitude: 49.671931; decimalLongitude: 6.046718; Identification: identifiedBy: Fernanda Herrera-Mes\u00edas; Event: samplingProtocol: pan trap (passive sampling); eventDate: 20-05-2019; Record Level: institutionCode: MNHNL; basisOfRecord: Preserved SpecimenAndrena : Adult female. Body length of 9.23 mm.Andrenalagopus from France , collected in Alsace and Indre et Loire.The taxonomic annotation is supported by DNA barcoding data. The best percentages of sequence identity were achieved with two specimens of Brassicaceae) for pollen collection \u201d (rn (LC)\u201d as it isrn (LC)\u201d .A68A4ADA-245F-5A6A-8572-B7C6269E7294Sphecodesmajalis Common names: Sph\u00e9code de mai (French), Kortsnuitbloedbij (Dutch), Mai-Blutbiene (German).Type status:Other material. Occurrence: catalogNumber: MNHNL100057; sex: male; lifeStage: adult; associatedSequences: BOLD: MNHNL163-21; Taxon: scientificName: Sphecodesmajalis ; order: Hymenoptera; family: Halictidae; genus: Sphecodes; specificEpithet: majalis; taxonRank: species; scientificNameAuthorship: ; vernacularName: Sph\u00e9code de mai (French), Kortsnuitbloedbij (Dutch), Mai-Blutbiene (German); Location: country: Luxembourg; locality: Manternach; decimalLatitude: 49.710039; decimalLongitude: 6.430916; Identification: identifiedBy: Fernanda Herrera-Mes\u00edas; Event: samplingProtocol: pan trap (passive sampling); eventDate: 28-04-2019; Record Level: institutionCode: MNHNL; basisOfRecord: Preserved SpecimenSphecodes species (6-8 mm) Fig. a and b. mm) Fig. c. The himm) Fig. d. The pumm) Fig. e. The gomm) Fig. f.Voucher specimen : Adult male. Body length of 7.19 mm.Sphecodesmajalis from France , collected in Loir et Cher.The taxonomic annotation is supported by DNA barcoding data. A perfect match of genetic sequence similarity was achieved with a specimen of Lasioglossumpallens , its only known host in Europe \u201d (ed (NT)\u201d . Recordsed (NT)\u201d .Andrenidae, Apidae, Colletidae, Halictidae, Megachilidae and Melittidae). Exact sampling sites and detailed information for each museum specimen are available at the Species Observation Database Service of the museum. From the 218 wild bee species listed in the database, 194 were present in previous species checklists, confirming that at least some individuals have been found in Luxembourgish territory. The remaining 24 species did not figure as present in the country in the literature sources consulted. These species were represented in the collection exclusively by individuals collected in other countries, except for five species, whose annotations linked them to at least one voucher specimen from a gathering site placed in modern Luxembourgish territory: Colletesfodiens , Hylaeusstyriacus , Nomadafurva , Nomadasexfasciata and Hoplitispapaveris . In three of these cases, previous taxonomic annotations of the analysed voucher specimens and our morphological re-examinations were in agreement .The 5,908 wild bee specimens registered in the MNHNL collection were distributed amongst 33 genera from six families in the collection. The results of the morphological re-evaluation of both specimens were inconclusive. The female specimen (MNHNL41840), which was collected in 1999, lacked the conspicuous white-haired face and those hairs across the dorsal surface of the first tergite that characterise C.fodiens , which was collected in 2013, had the hairs of the sternites glued together and partially covered by sand grains. The genitalia were contracted inside the abdomen, obscuring visualisation of the crucial characters described in the taxonomic keys. As a more conservative approach, we thus do not recognise C.fodiens as a potential new finding for Luxembourg.However, in the remaining two cases, the taxonomic annotations showed conflicting results. In the case of ns sensu . Some au females . HoweverH.styriacus, there were eleven female specimens in the collection. In all cases, the shape of the facial fovea matched the one of Hylaeus from the subgenusParaprosopis presented the tridentate mandible and pronotum with pointed edges that characterise Hylaeusclypearis . In the rest of the cases evaluated, the characteristics of the specimens matched the description of Hylaeuspictipes : facial lateral yellow spots, punctures on tergites/mesopleura and the overall shape of the head. For the aforementioned reasons, the original annotation and the presence of H.styriacus in Luxembourg remains to be confirmed.In the case of is sensu to whichAndrenalagopus and Sphecodesmajalis , respectively. Both species have no previous records in the country, rendering those two entries the first documented findings.Finally, the DNA barcodes of two of the specimens from the pilot phase of the wild bee atlas project had a 100% genetic similarity in BOLD with sequences annotated as Therefore, the morphological and molecular evidence indicates the presence of five wild bee species that are missing in the most current checklists . The fifth species, Nomadasexfasciata, is missing in N.sexfasciata for Luxembourg as well. Moreover, two specimens were collected in the country in 1997 . It is worth mentioning that the most important morphological traits used to separate species within the subgenusParaprosopis, according to the key of Hylaeus bees (~ 4 mm), distinguishing similar species without such a level of magnification and optical performance might not be straightforward, as it may be hard to observe the most subtle details in the head and face. The importance of this factor as a potential error source in the morphological identification of Hylaeus bees and other wild bees of similar size remains to be determined.In the case of the potential of 2.17% , DNA barAndrenalagopus and Sphecodesmajalis require a special ecological discussion. Both were collected in 2019 during the pilot phase of a wild bee atlas project. In particular, the discovery of the ground nesting bee, A.lagopus, is locally relevant. This species is described as an oligolectic, warm-habitat-loving bee with an Atlanto-Mediterranean distribution , Sinapsisarvensis, Barbareavulgaris and Cardaminepratensis in Turkey might be a consequence of the particular relationship this cuckoo bee has with its host. Unlike most other blood bees, which visit different nests and kill or expel their occupants, it has been observed that S.majalis females do not drive away its host, showing no aggressive or defensive behaviour towards L.pallens females were added to the national checklist of Luxembourg. Additionally, we found evidence that supports the current presence in the country of a fifth species (N.sexfasciata), which was omitted during past inventories. With the addition of these findings, the number of wild bee species registered in Luxembourg has increased to 346. The wild bee collection curated at the National Museum of Natural History Luxembourg is preserved under suitable conditions, which will allow future generations of researchers to use, re-examine and debate it in order to answer scientific questions pertinent to their own historical time. As such, our results represent just a small fraction of the exceptional value that NHCs have as repositories for the documentation of the bio- and geodiversity of the world. Despite this great potential, the current decrease in the available funds to keep and curate NCHs threatens the future of several collections, especially the smaller ones, affecting our possibilities to continue profiting from them in the years to come. Therefore, support from the scientific community and funding bodies is imperative, so biological collections can keep growing, documenting and ultimately, fulfilling their role in society.Our results highlight the importance of NHCs as sources for discoveries and critical re-interpretations of scientific knowledge. In combination with recent fieldwork material, four new wild bee species Data typeSpecies listFile: oo_530987.xlsxhttps://binary.pensoft.net/file/530987Fernanda Herrera-Mes\u00edas, Alexander Weigand71958FD8-B10A-5BD2-A63F-E05C3E4550B210.3897/BDJ.9.e64027.suppl2Supplementary material 2Additional species suggested by the westpalbees database for Luxembourg.Data typetaxonomicFile: oo_532963.xlsxhttps://binary.pensoft.net/file/532963Alexander Weigand, Fernanda Herrera-Mes\u00edas"}
+{"text": "We regret the unprofessional behavior of the authors involved.fuyan0059@sina.com>Correspondence: Yan Fu: <"}
+{"text": "Arctiini is a species-rich tribe of the subfamily Arctiinae of the family Erebidae. The genus Olepa Watson, 1980 is distributed in the Oriental and Palearctic Regions and the diversity reaches its peak in south Asia.The tribe Olepa from China and re-describe Oleparicini , together with illustrations of its adult and male genitalia. Furthermore, based on an analysis of 658-bp COI barcoding sequences, together with morphological studies, we consider that Olepaschleini Witt et al., 2005 syn. n. is a new synonym of O.ricini.We herein describe the first record of the genus Olepa was originally established by Alope Walker, 1855 with Alopeocellifera Walker, 1855 as the type species. Oleparicini Fabricius, 1775 species group, restored the specific status of O.ocellifera Walker and O.clavatus Swinhoe and described four new species from southern India and Sri Lanka. Subsequently, Olepa into two species groups, based on differences in male genitalia. Subsequent studies revealed three additional species from western Asia, India and Indochina . Two species, namely O.neumuthi and O.toulgoeti, were treated as the synonyms of O.ricini and O.clavatus, respectively. Recently, Kalawate et al. solution for examination of male genitalia, photographs of which were taken under a Keyence VHX-5000 digital microscope. Terminology of adult and genitalia follows Olepa as the ingroup and, for the outgroup, we used Trischalisaureoplagiata and Cyclosiellaspiralis (two species of the tribe Lithosiini of the subfamily Arctiinae). We sequenced four specimens from China and the remaining sequences were obtained from GenBank and Bold Systems. DNA was extracted from two or three legs of dried adult specimens using a TIANamp Genomic DNA Kit following the manufacturer\u2019s instructions. We amplified a single mitochondrial gene (a 658-bp fragment of COI) using the general primers 1490-2198 7F131776-AEE6-57B1-A7C1-524B2EEEE8C9BombyxriciniAlopericini Moore, 1882: 70Pericalliaricini Hampson, 1901, 350Oleparicini Watson, 1980:133Olepa (Ricinia) ricini ; Singh & Singh, 2013:276Olepaneumuthi Orhant, 2012:61, synonymised by Singh & Singh, 2013Olepaschleinisyn. nov. Witt et al., 2005:102 , Type status:Other material. Occurrence: recordedBy: S.Y. Huang; sex: 1 male; lifeStage: adult; occurrenceID: SCAU:Ole02; Taxon: scientificName: Oleparicini ; order: Lepidoptera; family: Erebidae; genus: Olepa; taxonRank: species; taxonomicStatus: accepted; Location: country: China; stateProvince: Guangdong; county: Guangzhou; locality: campus of South China Agricultural University; Event: eventDate: 14-Sep-2021Type status:Other material. Occurrence: recordedBy: S.Y. Huang; sex: 1 male; lifeStage: adult; occurrenceID: SCAU:Ole01; Taxon: scientificName: Oleparicini ; order: Lepidoptera; family: Erebidae; genus: Olepa; taxonRank: species; taxonomicStatus: accepted; Location: country: China; stateProvince: Guangdong; county: Guangzhou; locality: campus of South China Agricultural University; Event: eventDate: 24-Sep-2020Type status:Other material. Occurrence: recordedBy: Y.X Hou; sex: 1 males; lifeStage: adult; occurrenceID: SCAU:Ole03; Taxon: scientificName: Oleparicini ; order: Lepidoptera; family: Erebidae; genus: Olepa; taxonRank: species; taxonomicStatus: accepted; Location: country: China; stateProvince: Guangdong; county: Guangzhou; locality: campus of South China Agricultural University; Event: eventDate: 1-Oct-2021Type status:Other material. Occurrence: recordedBy: L.P. Zhou; sex: 1 males; lifeStage: adult; occurrenceID: SCAU:Ole04; Taxon: scientificName: Oleparicini ; order: Lepidoptera; family: Erebidae; genus: Olepa; taxonRank: species; taxonomicStatus: accepted; Location: country: China; stateProvince: Hainan; locality: Yinggeling Natural Reserve; Event: eventDate: 13-Jul-2020Type status:Other material. Occurrence: recordedBy: P. Qin; sex: 1 male; lifeStage: adult; occurrenceID: SCAU:Ole05; Taxon: scientificName: Oleparicini ; order: Lepidoptera; family: Erebidae; genus: Olepa; taxonRank: species; taxonomicStatus: accepted; Location: country: China; stateProvince: Guangdong; county: Guangzhou; locality: campus of South China Agricultural University; Event: eventDate: 14-Oct-20212; marginal line serrate, extending from apex to vein CuA1. Venation , Thailand, India, Israel.Olepa is morphologically similar to O.schleini and O.ricini. These two species were supposed to be distinguished from each other mainly by the differences in the tip of the valva, i.e. tip rounded in the former and more acute in the latter, together with a great genetic difference in COI sequences (O.ricini (GenBank accession numbers AM050280-AM050284) used by Witt et al. (2005) in GenBank, we found that these sequences are actually closer to those of certain species in the family Geometridae rather than other members of Arctiinae of the family Erebidae. It is very likely that these COI sequences of O.ricini are wrong and are not the true ones of this species. This result can also explain why the genetic difference between O.ricini and O.toulgoeti was also as large as 18.2% to 18.5%, but the difference between O.schleini and O.toulgoeti was only 1.6% to 1.8%, despite the fact that O.schleini and O.ricini are morphologically closer. Based on our analysis, the genetic difference between Chinese Olepa sp. and Israeli O.schleini is 0%, the difference between two true Indian O.ricini (GenBank accession numbers KX371816 and KY559102) and Israeli O.schleini varies from 0.3% to 0.9% and the difference between Chinese Olepa sp. and Indian O.ricini also varies from 0.3% to 0.9%. Considering the fact that the genetic difference between the morphologically dissimilar O.ricini and O.toulgoeti is only 1.6% to 1.8% and the difference found between Indian O.ricini and Israeli O.schleini is smaller than 1%, we believe that all the three populations of O.ricini and O.schleini mentioned above should be regarded as conspecific. As for the difference in wing pattern, according to Orhant (1986), the lectotype of O.ricini housed in the Natural History Museum of Denmark is a female without abdomen and the holotype of O.schleini is a male deposited in Museum Witt Munich, but the adult of this specimen was not specified in the plates in Witt et al. (2005). By comparing the female lectotype of O.ricini and illustrations of males of this species from various publications with males and females of O.schleini figured in Witt et al. (2005), we found no significant difference between these individuals and, interestingly, the pale rings are mostly reduced in the lectotype of O.ricini, similar to the situation in O.schleini. Hence, we concluded that this character is most probably due to individual variation. Thus, we herein present the following synonym: Olepaschleini Witt et al., 2005 syn. n. = Oleparicini and the Chinese Olepa sp. should be also identified as O.ricini.The Chinese population of equences . In addi"}
+{"text": "In \u201cA Patient Journey Map to Improve the Home Isolation Experience of Persons With Mild COVID-19: Design Research for Service Touchpoints of Artificial Intelligence in eHealth\u201d :e23238) the authors noted one error.In the originally published manuscript, Multimedia Appendix captions incorrectly appeared as follows:Multimedia Appendix 1: Patient journey map of persons with mild COVID-19 during home isolation.Multimedia Appendix 2: Visual summary.Multimedia Appendix 3: Video purpose and comments coding trees.Multimedia Appendix 4: Personal video story coverage and experienced symptoms during home isolation.In the corrected version of the manuscript, Multimedia Appendix captions have been corrected to:Multimedia Appendix 1: Personal video story coverage and experienced symptoms during home isolation.Multimedia Appendix 2: Patient journey map of persons with mild COVID-19 during home isolation.Multimedia Appendix 3: Video purpose and comments coding trees.Multimedia Appendix 4: Visual summary of design research.The correction will appear in the online version of the paper on the JMIR Publications website on May 4, 2021, together with the publication of this correction notice. Because this was made after submission to PubMed, PubMed Central, and other full-text repositories, the corrected article has also been resubmitted to those repositories."}
+{"text": "Lycaenidae is the second-largest group of butterflies which contains about one third of the known species of Papilionoidea. The genera Tajuria Moore, [1881] and Drupadia Moore, 1884 are both mainly found in the Oriental and Australian realms. In a very recent expedition to south-west China in Xishuangbanna (Yunnan Province), specimens of T.sekii Saito, 2005 and D.scaeva were collected for the first time, a new subspecies of the former: T.sekiisisyphus ssp. nov., is described and illustrated and the latter species comprises the first record of the genus Drupadia in China.The family T.sekii Saito, 2005, T.sekiisisyphus ssp. nov., is described and illustrated. The species T.sekii Saito, 2005 and D.scaeva are first recorded in China and the latter comprises the first record of the genus Drupadia in China. Relevant details are presented for the species.A new subspecies of Lycaenidae is the second largest family of butterflies, which includes over 6,000 species were first collected in Yunnan Province and a new subspecies, T.sekiisisyphus ssp. nov., is described and illustrated.In this contribution, specimens of Photographs of the adults were taken by an Olympus E-M1 digital camera with a M. ZUIKO DIGITAL ED 60 mm F2.8 Macro lens. To examine the male genitalia, the abdomen was removed and soaked in 10% potassium hydroxide solution at room temperature for about 24 hours and was dissected under a Nikon SMZ18 stereoscope, following D9D8C9F4-C372-5584-9389-C7C2C4618AC3Type status:Other material. Occurrence: recordedBy: Si-Xun Ge; Zhuo-Heng Jiang; individualCount: 3; sex: 3 males; lifeStage: adult; Taxon: scientificName: Drupadiascaeva ; kingdom: Animalia; phylum: Arthropoda; class: Insecta; order: Lepidoptera; family: Lycaenidae; genus: Drupadia; specificEpithet: scaeva; taxonRank: species; scientificNameAuthorship: ; Location: country: China; stateProvince: Yunnan Province; county: Mengla Country; locality: Menglun township; maximumElevationInMeters: 800 m a.s.l.; verbatimCoordinates: 21\u00b09629\u2032 N, 101\u00b02073\u2032 E; Identification: identifiedBy: Shao-Ji Hu; dateIdentified: 2021; Event: samplingProtocol: sweep net; year: 2021; month: 4; day: 24; habitat: Rain Forest; Record Level: basisOfRecord: PreservedSpecimenMale cooperi, with the bluish scales in the centre of fore-wings absent and a relatively limited violet area on hind-wings.We tentatively identified specimens collected in this study as ssp. Ge & Jiangn.566CA7A0-CD39-5557-A79A-2406410BBD0669624BFA-969D-44FC-9ED6-CFC6BEB9E2B5Type status:Holotype. Occurrence: recordedBy: Si-Xun Ge; individualCount: 1; sex: male; lifeStage: adult; disposition: in collection; Location: country: China; countryCode: CN; stateProvince: Yunnan; county: Mengla Country; locality: Menglun township; verbatimElevation: 800 m; verbatimCoordinates: 21\u00b09629\u2032 N, 101\u00b02073\u2032 E; Identification: identifiedBy: Si-Xun Ge; dateIdentified: 2021; Event: samplingProtocol: sweep net; year: 2021; month: 4; day: 24; habitat: Rain Forest; Record Level: basisOfRecord: PreservedSpecimenType status:Paratype. Occurrence: recordedBy: Si-Xun Ge; Zhuo-Heng Jiang; individualCount: 4; sex: 4 females; lifeStage: adult; disposition: in collection; Location: country: China; countryCode: CN; stateProvince: Yunnan; county: Mengla Country; locality: Menglun township; verbatimElevation: 800 m; verbatimCoordinates: 21\u00b09629\u2032 N, 101\u00b02073\u2032 E; Identification: identifiedBy: Si-Xun Ge; dateIdentified: 2021; Event: samplingProtocol: sweep net; year: 2021; month: 4; day: 24; habitat: Rain Forest; Record Level: basisOfRecord: PreservedSpecimenMale Fig. : Fore-wiMale genitalia Fig. : Highly Female Fig. : Fore-wiTajuriasekiisisyphus ssp. nov. can be distinguished from the nominotypical subspecies by the combination of the following characteristics: 1) Blue areas of both sexes are more reduced, especially in female, 2) Hindwing with tornal black spot in space 2 on the upperside of females, while absent in nominotypical subspecies and 3) Compared to the nominotypical subspecies, females of the new subspecies with both wings broader and more rounded.The Myth of Sisyphus. The process of scientific research is just like the act of rolling the boulder up the hill. However, the description of each new taxon is exciting enough. \"Each atom of that stone, each mineral flake of that night-filled mountain, in itself forms a world. The struggle itself toward the heights is enough to fill a man's heart. One must imagine Sisyphus happy.\" The subspecies name is treated as a noun in apposition.The subspecies name is derived from the name of a man in Greek mythology, who also appears in sisyphus is only known from China.The nominotypical subspecies can be found in Thailand, Vietnam and Laos, while ssp. China is a country with mega-biodiversity of butterflies, especially the southwest mountainous part . Yunnan D.scaeva had already been taken by nature lovers in Xishuangbanna Prefecture, while there has been no official publication of this species in China. In this expedition, specimens of D.scaeva were collected and it was confirmed that the species is, indeed, present in China.Before this contribution, photos of Tajuria has a high diversity in Oriental and Australian Realms. However, systematic studies on this genus are still very limited, even in recent years; therefore, the definition of some species is still unresolved. We speculate that there should be more species of Tajuria to be found in China.The genus"}
+{"text": "We regret the unprofessional behavior of the authors involved.joethomas5725@gmail.com>Correspondence: Wenhao Zhang: <"}
+{"text": "Quasipaa is a genus of frogs that belongs to a relatively poorly known group. Most of the species distribution has been recorded in China; however, a few incidences of identification have occurred in the eastern part of Indochina. To date, only one species (Quasipaafasciculispina) of Quasipaa has been recorded from Chanthaburi and Trat Provinces in south-eastern Thailand.Spiny Frog Quasipaaverrucospinosa from Doi Phu Kha National Park, Nan Province at an altitude of 900\u20131000 m a.s.l. Our study has demonstrated that populations of this species are paraphyletic and has revealed deep genetic differences. Therefore, it is recommended that a comprehensive study be undertaken to clarify the taxonomic and geographic distribution of this species for its suitable protection and conservation.Based on recent fieldwork conducted in northern Thailand, we report a new record of Dicroglossidae is a diverse group of amphibians in Thailand. As a direct result of the increasing amounts of attention and effort being devoted to herpetological research studies, the species diversity of this family in Thailand has remarkably increased from 31 species in the year 2011, to 38 species at present . To date, official records are comprised of 12 recognised species of this genus, of which only one species, namely Q.fasciculispina, was reported from south-eastern Thailand (Frost 2021). The Granular Spiny Frog Quasipaaverrucospinosa (considered to be at the \u2018Near Threatened\u2019 level on the IUCN Red List) was first described by Ren\u00e9 Bourret in 1937 and was collected from Chapa and Fansipan (now Sa Pa) in Lao Cai Province and Tam Dao National Park in Vinh Phuc Province, northern Vietnam. Currently, the distribution of this species ranges from northern and central Vietnam; southern China; and northwest Laos and Fejervaryalimnocharis (Gravenhorst) which were used as the outgroup and Maximum Likelihood (ML). JMODELTEST v.2.1.7 was used65BF7EC1-909C-58BE-AE2D-9A7B3157EDF3Type status:Other material. Occurrence: catalogNumber: AUP-00392; individualCount: 1; sex: female; lifeStage: adult; Taxon: scientificName: Quasipaaverrucospinosa; class: Amphibia; order: Anura; family: Dicroglossidae; genus: Quasipaa; specificEpithet: verrucospinosa; Location: country: Thailand; countryCode: TL; stateProvince: Nan; locality: Doi Phu Kha; verbatimElevation: 900\u20131000; verbatimLatitude: 21\u00b019.66'N; verbatimLongitude: 103\u00b036.26'E; verbatimCoordinateSystem: WGS84; Event: eventRemarks: collected by C. Suwannapoom, P. Pawangkhanant; Record Level: basisOfRecord: preserved specimeType status:Other material. Occurrence: catalogNumber: AUP-00393; individualCount: 1; sex: female; lifeStage: adult; Taxon: scientificName: Quasipaaverrucospinosa; Record Level: basisOfRecord: preserved specimen; dynamicProperties: collection date, collector and location as the AUP-00392Type status:Other material. Occurrence: catalogNumber: AUP-00530; individualCount: 1; sex: female; lifeStage: adult; Taxon: scientificName: Quasipaaverrucospinosa; Record Level: basisOfRecord: preserved specimen; dynamicProperties: collection date, collector and location as the AUP-00392Type status:Other material. Occurrence: catalogNumber: AUP-00531; individualCount: 1; sex: male; lifeStage: adult; Taxon: scientificName: Quasipaaverrucospinosa; Record Level: basisOfRecord: preserved specimen; dynamicProperties: collection date, collector and location as the AUP-00392Type status:Other material. Occurrence: catalogNumber: AUP-00532; individualCount: 1; sex: male; lifeStage: adult; Taxon: scientificName: Quasipaaverrucospinosa; Record Level: basisOfRecord: preserved specimen; dynamicProperties: collection date, collector and location as the AUP-00392Type status:Other material. Occurrence: catalogNumber: AUP-00533; individualCount: 1; sex: male; lifeStage: adult; Taxon: scientificName: Quasipaaverrucospinosa; Record Level: basisOfRecord: preserved specimen; dynamicProperties: collection date, collector and location as the AUP-00392Type status:Other material. Occurrence: catalogNumber: AUP-00534; individualCount: 1; sex: male; lifeStage: adult; Taxon: scientificName: Quasipaaverrucospinosa; Record Level: basisOfRecord: preserved specimen; dynamicProperties: collection date, collector and location as the AUP-00392Type status:Other material. Occurrence: catalogNumber: AUP-01609; individualCount: 1; sex: female; lifeStage: adult; Taxon: scientificName: Quasipaaverrucospinosa; Record Level: basisOfRecord: preserved specimen; dynamicProperties: collection date, collector and location as the AUP-00392Morphological characteristics of the specimens (n = 10) obtained from Nan Province agreed with the descriptions of Skin. Dorsal surface with very rough back covered by short, thick, ridges and round tubercles. Sides covered by oval tubercles with dark spines; ventral surface smooth. During the breeding season (May to October), males have black spikes on finger I, chin, chest and underarms. Colouration of dorsum is grey-brown with dark brown spots; ventral surface cream-coloured, except for the chin with dark markings; iris dark green Figs , 3.This species is known to be from northern and central Vietnam, southern China and northwest Laos . This isLimnonectestaylori Matsui, Panha, Khonsue & Kuraishi and L.bannaensis Ye, Fei, Xie & Jiang. Advertisement calls of the males can be heard within or beside rocky streams from May to October to 7.1% (with Q.shini) , was 0.2%. Furthermore, both ML and BI analyses placed the Nan population in one clade along with topotypic Q.verrucospinosa in conjunction with strong node support of 16S rRNA data for Quasipaa are distinguished from each other mainly by the pattern and number of genital spikes in the areas of the first finger, chest, chin and underarms of males during their breeding season. Therefore, it can be considerably difficult for herpetologists to identify this species. Consequently, the taxonomic status of the species in this group is both controversial and unclear. Additionally, there has been a notable lack of interest in and integrated research conducted on this species. However, this species has been determined to be especially widespread ; Paaboulengeri ; Paaspinosa and Paa spp. and Tam Dao NP. (Vinh Phuc Province). These two locations are situated on opposite sides of the Red River. Q.verrucospinosa sensu stricto. Specimens previously placed in other groups should be assigned to groups Q.cf.verrucospinosa in order to more accurately correspond with specimens in groups B, C and D .Sequences and voucher specimens of Data typeTable of sequences and voucher specimens of Quasipaa and outgroup taxa used in molecular analysesFile: oo_592305.docxhttps://binary.pensoft.net/file/592305Suwannapoom et al.FECF5CBD-031A-5187-912F-4A426C20EA2210.3897/BDJ.9.e70473.suppl2Supplementary material 2Quasipaa.The pairwise uncorrected p-distance (%) of 16S rRNA gene between species of Data typep-distanceFile: oo_554712.docxhttps://binary.pensoft.net/file/554712Suwannapoom et al.4B07CD53-2032-5B61-904D-4E72DA05A73C10.3897/BDJ.9.e70473.suppl3Supplementary material 3Quasipaaverrucospinosa in Thailand. .Measurement (in mm) and proportions of the series of Data typeMeasurement of Quasipaa verrucospinosa in ThailandFile: oo_554755.docxhttps://binary.pensoft.net/file/554755Suwannapoom et al."}
+{"text": "Facilitators include: tension for change for low-cost, accessible IDs; relative advantage over existing tools; development of partnerships; and identification of implementation champions. Barriers include: need for educational strategies to encourage clinical provider acceptability; lack of evidence of the optimal beneficiary. DISCUSSION/SIGNIFICANCE OF IMPACT: Tools for therapeutic OF self-management could be integrated into comprehensive OF programming. Employing the CFIR as an overarching typology allows for comparison across contexts and settings where OF care occurs and may be useful for clinicians, researchers, and policy-makers interested in implementing IDs for OF self-management in LMICs. CONFLICT OF INTEREST DESCRIPTION: I am working with colleagues at the non-profit Restore Health on developing an insertable cup for therapeutic self-management of obstetric fistula in LMICsOBJECTIVES/GOALS: Insertable devices (IDs) for obstetric fistula (OF) management are feasible, acceptable, but not accessible; implementation determinants in low and middle-income countries (LMICs) are unknown. Thus, the purpose of this study was to understand pre-adoption facilitators and barriers among global stakeholders for a therapeutic ID for OF in LMICs. METHODS/STUDY POPULATION: Stakeholders, including researchers (n = 11), clinicians (n = 4), government officials (n = 2), and administrators (n = 4), were purposefully identified from various sectors involved in understanding and addressing the needs of women with OF: clinical care, academia, international health, civil society, and government. Twenty-one individuals were interviewed about their perceptions of IDs for OF self-management and their implementation. Interviews were audio-recorded and transcribed. The Consolidated Framework for Implementation Research (CFIR) guided data collection and analysis. Thematic analyses were carried out within Nvivo v.12. RESULTS/ANTICIPATED RESULTS: Determinants of implementation of an ID for OF self-management (by CFIR domain) include: (1) intervention characteristics\u2014"}
+{"text": "Anoplura), some of their common, Eurasian or even cosmopolitan species still lack complete taxonomic descriptions, especially those for their nymphal stages. This applies especially to the most common rodent parasites: the lice of the genus Hoplopleura. In Europe, only two of the five most common Hoplopleura species have full taxonomic characteristics with a description of the nymphal stages. This study enriches the current state of knowledge for another species, Hoplopleuralongula and presents the first description of its nymphal stages.Despite the widespread belief that an extensive body of knowledge exists for the sucking lice of H.acanthopus, H.affinis, H.captiosa, H.edentula and H.longula) have been given full taxonomic descriptions, including immature stages. This paper presents a description of the nymphal stages of H.longula (described for the first time).Only two of the five species found in Eurasia ( Psocodea: Anoplura) are obligatory, permanent ectoparasites of mammals. Lice complete their entire lifecycle on their host and it includes: egg, three nymphal stages and an adult stage (imago). Some past research on this group has focused on their relationship with humans (e.g. Sucking lice (ans e.g. or livesans e.g. and theians e.g. . In compAnoplura are associated with rodents (Rodentia), the most abundant group of mammals in terms of species (Hoplopleuridae (Psocodea: Anoplura) is the most speciose group parasitising the Rodentia. Amongst the family, most representatives are in the genus Hoplopleura, which contains 154 species distributed around the world. The following five are most widespread in Europe - four of them being common in Eurasia: H.acanthopus , H.affinis , H.edentula and H.longula Neumann, 1909 and one is probably cosmopolitan: H.captiosa Johnson, 1960 , obtained from the Scientific Collection of the Mammal Research Institute Polish Academy of Sciences in Bialowieza . These were isolated from four Eurasian harvest mice Pallas, 771, obtaza Table .Lice were collected from dead rodent specimens by combing the fur with tweezers and the specimens were fixed and preserved in 70% ethyl alcohol. The specimens, intended for analysis of morphological traits, were immersed in polyvinyl-lactophenol to develop total preparations for light microscope examination .Topographic preferences were observed. The entire body surface area of the test hosts was analysed and all locations were marked; this allowed for a complete (intensive) analysis of the topography.The names and abbreviations of individual setae or body parts are provided following Abbreviations of head and thorax:ADHS accessory dorsal head setae;AHS apical head setae;AS antennal setae;CS clypeal setae;DAHS dorsal anterior head setae;DMsS dorsal mesothoracic setae;DMtS dorsal metathoracic setae;DPTS dorsal principal thoracic setae;DPtS dorsal prothoracic setae;ISHS inner sutural head setae;MHS marginal head setae;AMHS anterior marginal head setae;MMHS middle marginal head setae;PMHS posterior marginal head setae;OS oral setae;OSHS outer sutural head setae;PAS preantennal setae;PCHS posterior central head setae;PDHS posterior dorsal head setae;VMHS ventral marginal head setae;VPHS ventral principal head setae.Abbreviations of abdomen:AnS anal setae;MAS major abdominal setae.Neumann, 1909D8E3045B-4432-5473-9A0D-8B006A12B951Type host: Micromysminutus Other hosts: Micromysglareolus Schreber, 1780 in MicrotusarvalisSorexaraneus Linnaeus, 1758 in Wegner (1966b) Pallas, 1778 and Type status:Other material. Occurrence: lifeStage: 1 nymph first instar; Taxon: scientificName: Hoplopleuralongula Neumann, 1909; kingdom: Animalia; phylum: Arthropoda; class: Insecta; order: Psocodea; family: Hoplopleuridae; genus: Hoplopleura; Location: continent: Europe; country: Poland; locality: area of the Bialowieza National Park; verbatimCoordinates: 52\u00b045'23.3\"N 23\u00b052'23.6\"E; georeferenceProtocol: GPS; Identification: identifiedBy: Kozina P.; Event: samplingProtocol: Micromysminutushost ; eventDate: 20-09-1949; Record Level: institutionCode: UGDIZPMMmHHl1N1Type status:Other material. Occurrence: lifeStage: 1 nymph first instar and 1 nymph second instar; Taxon: scientificName: Hoplopleuralongula Neumann, 1909; kingdom: Animalia; phylum: Arthropoda; class: Insecta; order: Psocodea; family: Hoplopleuridae; genus: Hoplopleura; Location: continent: Europe; country: Poland; locality: area of the Bialowieza National Park; verbatimCoordinates: 52\u00b045'23.3\"N 23\u00b052'23.6\"E; georeferenceProtocol: GPS; Identification: identifiedBy: Kozina P.; Event: samplingProtocol: Micromysminutushost ; eventDate: 08-12-1949; Record Level: institutionCode: UGDIZPMMmHHl2N1, UGDIZPMMmHHl1N2Type status:Other material. Occurrence: lifeStage: 2 nymph third instar; Taxon: scientificName: Hoplopleuralongula Neumann, 1909; kingdom: Animalia; phylum: Arthropoda; class: Insecta; order: Psocodea; family: Hoplopleuridae; genus: Hoplopleura; Location: continent: Europe; country: Poland; locality: area of the Bialowieza National Park; verbatimCoordinates: 52\u00b045'23.3\"N 23\u00b052'23.6\"E; georeferenceProtocol: GPS; Identification: identifiedBy: Kozina P.; Event: samplingProtocol: Micromysminutushost ; eventDate: 07-10-1949; Record Level: institutionCode: UGDIZPMMmHHl1N3, UGDIZPMMmHHl2N3Nymph I . MAS four in number; AnS present, two in number.h I Figs , 3 . Legh I Figs . Head. ANymph II . Ventral side: large, concave scales around the mouth; head margins covered imbricately with scales (U-shaped); VMHS, OS and AHS present; VPHS constituting 50% of the head length. Dorsal side: AHS, DAHS and PAS present; ISHS and OSHS closely arranged; PCHS visible; ADHS and PDHS (reaching second segment of the abdomen) present; MHS minute. Thorax. Dorsal side: DPTS reaching beginning of the abdomen; pronounced border between the thorax, head and abdomen. Abdomen. Disproportionately large relative to the rest of the body, barrel-shaped, densely covered with U-shaped scales; traces of segmentation visible; MAS eight in number. After x-ray, structure of nymph III visible. II Figs , 5 . Bod II Figs . Head. WNymph III .III Figs , 7 . BodIII Figs . Head. WThe lice demonstrated topographic preferences - a tendency for congregating along the sides of the host\u2019s body and on both sides of the head (between the ears and on the neck) Fig. Table 1)1).H.longula was found amongst the lice. Despite the fact that there are also other species parasitising M.minutus, for example, of the genus Polyplax given in literature (In the present study, only terature , they weM.minutus is considered to be the main host of H.longula; it has not been recorded in any other hosts to date (The harvest mouse to date .H.longula are easily identifiable. Nymph I possessed four major abdominal setae and an elongated, ovoid abdomen. Nymph II possessed eight MAS and a barrel-shaped abdomen. Like nymph II, nymph III possessed eight MAS; however, its abdomen is elongated and ovoid. In addition, like nymph I, the body of the adult individual can be seen inside the nymph.Individual nymphs of H.longula-M.minutus relationship. Despite this, similarities can be found with the distribution of H.acanthopus on Microtusarvalis (H.longula appeared to have a wider distribution on the sides and the dorsum on its rodent hosts. Similarly to H.affinis in Apodemusagrarius (H.longula was also found on the dorsal portion of the head and on the nape of the animal. In both of the previous studies, Dubinin did not observe lice on the ventral portion of the head; this was also confirmed in the present study.Regarding the location of the lice on the host, no comparative data are available in previous studies regarding the arvalis : in bothagrarius , H.longH.longula is a rare species associated with only one, also rare host, M.minutus. This is the first description of all three nymphal stages of H.longula. This characteristic will support other researchers working on lice to make positive identifications which will benefit future research examining host-parasite associations.Current research indicates that"}
+{"text": "The prognosis of breast cancer has radically changed in recent years and continues to improve due to the broad application of effective therapies. New targeting strategies including targeted delivery of cytotoxic drugs via receptor-targeting agents have been developed. We summarize recent publications and developments of novel antibody-drug conjugates (ADCs) used to control breast cancer. Cancer is the second main cause of mortality worldwide . Breast ADCs are a new class of protein-based therapeutic agents which bring together the targeting capabilities, high selectivity, and stability of mAbs with the cancer-killing potential of highly potent payloads to increase precise drug delivery in cancer cells, while sparing healthy tissues and/or cells from chemotherapeutic damage. This ability of discrimination between normal and cancerous cells would not have been achieved without decades of development of mAbs , 14\u201318.In order to achieve the desired results, each ADC must contain three parts 19]::19]:Monoclonal antibody: it binds the ADC to a specific tumor cell surface protein . The antLinker: it is a chemical spacer between the cytotoxic drug and the monoclonal body. It is usually stable in the circulation, but most of the linkers are easily displaced inside the cells. However, if the linker stays stable inside the cell, it requires degradation to release the drug. The linker must allow the release of the drug in its active form within or close enough to the target cells, because early release of drugs in the circulation can result in systemic toxicity and a lower therapeutic index , 25. TheCytotoxic drug: cytotoxic compounds are divided into two main categories: microtubule inhibitors and DNA-damaging agents. There are also other small molecules under investigation , 28. AllThere are three generations of ADCs: first, second, and third. The monoclonal anti-HER2 binds to the HER2 expressed on the cells of the tumor and gets internalized by endocytosis. The proteases in the lysosomes cleavage the linker, releasing the payload and starting the cytotoxic effects.This effect happens when the ADC is designed that the antibody releases the payload before internalization so that the surrounding cells get affected by its cytotoxic effects even if they do not express the receptor.Monoclonal antibody: a human epidermal growth factor receptor 2 targeting monoclonal antibody.Payload: an undisclosed cytotoxic agent with potential antineoplastic activity.Development status: first in human phase I/II.Monoclonal antibody: an engineered version of the humanized monoclonal antihuman epidermal growth factor receptor 2 (HER2) immunoglobulin G1 (IgG1) trastuzumab.Linker: cathepsin B-cleavable valine-alanine linker.Payload: DNA cross-linking pyrrolobenzodiazepine (PBD) dimer-based drug tesirine.Development status : phase IMonoclonal antibody: trastuzumab biobetter HM2.Payload: monomethyl auristatin E (MMAE).Development status : phase IMonoclonal antibody: a human epidermal growth factor receptor 2 (HER2) site-specifically targeting monoclonal antibody.Linker: cleavable valine-citrulline- linker.Payload: an analog of dolastatin 10, auristatin-0101.Monoclonal antibody: a human epidermal growth factor receptor 2 site-specifically targeting monoclonal antibody.Linker: para-acetyl-phenylalanine .Development status : preclinMonoclonal antibody: a human epidermal growth factor receptor 2 targeting monoclonal antibody.Payload: undisclosed maytansine derivative.Development status : BAT8001Monoclonal antibody: a monoclonal antibody targeting human epidermal growth factor receptor 2 .Payload: a DNA minor groove cross-linking agent pyrrolobenzodiazepine monoamide (PBD-MA).Development status : first-iMonoclonal antibody: a monoclonal antibody targeting human epidermal growth factor receptor 2 .Linker: a cleavable maleimidocaproyl-valyl-citrullinyl-p-aminobenzyloxycarbonyl type linker.Payload: monomethyl auristatin E (MMAE).Development status: phase I and phase II .Monoclonal antibody: a monoclonal antibody against human epidermal growth factor receptor 2 (HER2) site-specifically.Payload: monomethyl auristatin F (MMAF).Development status: LegoChemistry\u2122 and ADC platform technology ConjuAll\u2122.Monoclonal antibody: hertuzumab.Payload: monomethyl auristatin E (MMAE).Development status: phase I and phase II.Monoclonal antibody: a bispecific antibody against the extracellular domain of human epidermal growth factor receptor 2 comprised of the single-chain variable fragment (scFv) of the anti-HER2 monoclonal antibody trastuzumab, fused to the heavy chains of the anti-HER2 monoclonal antibody 39S.Payload: tubulysinDevelopment status : phase IMonoclonal antibody: trastuzumab.Linker : it has Payload: PM050489.Development status : preclinMonoclonal antibody: a monoclonal antibody against the human epidermal growth factor receptor 2 (HER2).Payload: the antineoplastic anthracycline antibiotic doxorubicin encapsulated within liposomes.Development status : phase IMonoclonal antibody: a monoclonal antibody targeting human epidermal growth factor receptor 2 .Linker: a tetrapeptide linker, Gly-Phe-Leu-Gly (GFLG).Payload: deruxtecan, a derivative of the camptothecin analog exatecan ; a DNA topoisomerase 1 inhibitor, with antineoplastic activity.Development status : FDA appMonoclonal antibody: trastuzumab, a monoclonal antibody targeting epidermal growth factor receptor 2 (HER2).Linker : a cleavPayload: the duocarmycin prodrug.Development status : phase IMonoclonal antibody: trastuzumab.Linker : noncleaPayload: the microtubule-inhibitory agent DM1.Development status : approveMonoclonal antibody: HT-19, a monoclonal antibody directed against the human epidermal growth factor receptor 2 that binds to domain IV of HER2 to an epitope that is distinct from the trastuzumab-binding sitePayload: proprietary auristatin-derived payload molecules.Development status : in JanuMonoclonal antibody: sactizumab, an anti-Trop-2 humanized antibody.Payload: the topoisomerase-I inhibitor SN-38.Development status : phase IMonoclonal antibody: the zinc transporter LIV-1 targeting humanized antibody.Payload: monomethyl auristatin E (MMAE).Development status: phase I.Monoclonal antibody: anti-EGFR antibody.Payload: DM1 (derivative of maytansine).Development status: phase I.Monoclonal antibody: an anti-HER3 antibody.Payload: a topoisomerase I inhibitor exatecan derivative (DXd).Development Status: phase I/II.Monoclonal antibody: receptor tyrosine kinase-like orphan receptor 2 (ROR2) targeting antibody.Payload: an undisclosed payload.Development status: phase I/II.Monoclonal antibody: a humanized DS6 antibody directed against tumor-associated sialoglycotope CA6.Payload: the maytansinoid DM4.Development status: phase I.Breast cancer has become the most common cancer in the world; a lot of treatment methods and technologies were used in order to control it, but all of them did not achieve the required goal, until the invention of the antibody-drug conjugates. The concept of targeted delivery of anticancer drugs helped the oncologists to improve the tumor selectivity of anticancer drugs and to lower their systemic toxicity. Meaning that these drugs could be administered at higher doses, providing better therapeutic benefit to their patients. The tumor selectivity of antibodies offered a chance to achieve this goal by using them as guide for the drug towards the tumor. This seemingly simple concept had great attention from researchers at academic institutions and in the pharmaceutical industry. The current breed of ADCs uses antibodies that are humanized, not immunogenic, and linkers that are designed to be stable in circulation, but are cleaved upon delivery into a cell. The recent FDA approvals of new ADCs have generated tremendous excitement. There are a lot of ADCs currently in clinical evaluation and almost every major pharmaceutical company has embraced this technology. There is active research by medicinal chemists to develop new linkers and discover new potent effector molecules suitable for use in ADCs, while biologists have focused on identifying cell-surface targets suitable for antibody development."}
+{"text": "We regret the unprofessional behavior of the authors involved.li06yh@126.com>Correspondence: Yinghao Li: <"}
+{"text": "Moderate or severe burns are potentially devastating injuries that can even cause death, and many of them occur every year. Infection prevention, anti-inflammation, pain management and administration of growth factors play key roles in the treatment of burn wounds. Novel therapeutic strategies under development, such as nanotherapeutics, are promising prospects for burn wound treatment. Nanotherapeutics, including metallic and polymeric nanoformulations, have been extensively developed to manage various types of burns. Both human and animal studies have demonstrated that nanotherapeutics are biocompatible and effective in this application. Herein, we provide comprehensive knowledge of and an update on the progress of various nanoformulations for the treatment of burn wounds. HighlightsThe recent progress of various nanotherapeutics for the management of burn wounds and their therapeutic mechanisms are systematically reviewed.Assessment of burn wounds treated with nanotherapeutics is briefly summarized.Skin is the most active immune system organ and the largest organ of the body, as well as the main barrier between the environment and the internal organs . Acute sToday, we have a deep understanding of the pathogenesis of burn wounds. The main factors determining burn wound progression include bacterial infection, excessive inflammatory reaction and low expression levels of various growth factors (GFs). Of these, bacterial infection is the most serious complicating factor . In acco to treat burn wounds . I. IOther feration . By conteceptors . The res lesions . Importae models ,119.in vitro and in vivo models have been extensively employed to evaluate the therapeutic efficacies of nanotherapeutics. Anti-bacterial, anti-inflammatory and cell proliferation experiments have been mainly used to assess in vitro therapeutic efficacies of nanotherapeutics. However, many studies have focused on the animal models to evaluate the in vivo therapeutic efficacies of nanotherapeutics. Animals such as mice [et\u00a0al. have synthetically reviewed the establishment of various types of burn wounds in animals [Both as mice , rats [1 as mice , rabbits as mice ,112, dog as mice , and pig as mice bearing animals . The cli animals . AntibacA wide range of NPs have been explored for management of burn wounds. Using nanotherapeutics to treat these wounds has some advantages, such as increasing antibacterial effect, overcoming bacterial drug resistance, facilitating cell proliferation and decreasing drug administration frequency. The therapeutic efficacy of nanotherapeutics has been evaluated in various animal models on different types and degrees of burns. Some nanotherapeutics exhibit satisfactory therapeutic effects in patients with burn injuries, making them promising candidates for further studies of their role in the management of these wounds. Although gratifying therapeutic effects have been achieved, the toxicity of nanotherapeutics due to their particular physicochemical properties cannot be ignored. How to prepare multifunctional nanotherapeutics with good biocompatibility and efficacy for the treatment of burns needs further investigation. In particular, the systemic toxicity of nanotherapeutics should be investigated in various animal models before proceeding to patient applications. How to prepare nanotherapeutics for clinical practice on a large scale must also be considered. Although some problems must be overcome before this can happen, we believe that more burn patients can profit from nanotherapeutics in the future.sn-glycero-phosphatidylcholine; DNA: Deoxyribonucleic acid; DOTAP: 1,2-Dioleoyl-3-trimethylamonium propane chloride; EC: Endothelial cell; ECM: Extracellular matrix; EGF: Epidermal growth factor; EGF CDLs: EGF cationic deformable liposomes; FBS: Fetal bovine serun; FDA: Food and Drug Administration; FGF: Fibroblast growth factor; FN: Fibronectin; GFs: Growth factors; GM-CSF: Granulocyte macrophage colony stimulating factor; HA: Hyaluronic acid; HaCaT: Human immortal keratinocyte cell line; HB-EGF: Heparin binding epidermal growth factor; hFBs: Normal human fibroblast; HM-PA: Heparin-mimetic peptide; HUVECs: Human umbilical vein endothelial cells; ICAM-1: Intercellular adhesion molecule-1; IGF: Insulin-like growth factor; IGF-BP: Insulin like growth factor binding protein; IL: Interleukin; KGF: Keratinocyte formation growth factor; MMP: Matrix metalloproteinase; MRSA, Methicillin-resistant Staphylococcus aureus; MSC: Mesenchymal stem cell; NGF: Nerve growth factor; NPs: Nanoparticles; PBS: Phosphate buffer saline; PC: Phosphatidyl choline; PCL: Poly(caprolactone); PDA: Polydopamine; PEG: Polyethylene glycol; PEO: Polyethylene oxide; PDGF: Platelet-derived growth factor; PSIS: Porcine-derived small intestinal submucosa; PLA: Poly(lactic acid); PLGA: Poly(lactic-co-glycolic acid); PVA: Poly; ROS: Reactive oxygen species; SG: Silver nanoparticle gel; SF: Nanosilver foam; siRNA: Short interfering ribonucleic acid; TGF-\u03b2: Transforming growth factor beta; TIMP-1: Tissue inhibitor of metalloproteinase-1; TNF-\u03b1: Tumor necrosis factor alpha; TRA: All-trans retinoic acid; TRA DLs: All-trans retinoic acid loaded deformable liposomes; TSP: Thrombin-sensitive protein; VEGF, Vascular endothelial growth factor.AgSD: Silver sulfadiazine; \u03b1-SMA: Alpha-smooth muscle actin; BAC: Benzalkonium chloride; bFGF: Basic fibroblast growth factor; C: Collagen; CINC: Cytokine-induced neutrophil chemoattractant; Col1a1: Collagen type 1 alpha 1; CPC: Cetylpyridinium chloride; CXCL-1: Chemokine (C-X-C motif) ligand 1 protein; CRP: C-reactive protein; CTAB: Cetyltrimethyl ammonium bromide; CTGF: Connective-tissue growth factor; DMPC: Dimyristoyl-This work supported by the Open Project Program of the State Key Laboratory of Trauma, Burn and Combined Injury, Third Military Medical University .R.H. drafted the manuscript. J. H. and D. Z. designed this project and revised the manuscript. W. Q. prepared the revised manuscript. L. C. prepared some figures and tables. All authors read and approved the final manuscript.The authors declared that they have no conflicts of interest to this work."}
+{"text": "Correction to:Mol Syst Biol (2021) 17: e10179. DOI: 10.15252/msb.202010179 | Published online 30 March 2021et\u2009al LacI variants include the following: a study of temperature\u2010sensitive variants (Sadler & Novick, Besides the sentence quoted above, this mistake does not impact the findings of the study. The authors apologize for this error."}
+{"text": "Following publication of the original article , the autThe incorrect author name is: Brandon P. Luke-WoldThe correct author name is: Brandon P. Lucke-WoldThe author group has been updated above and the original article has been"}
+{"text": "Nature Communications8: Article number: 15732; DOI: 10.1038/ncomms15732 (2017); Published: 06092017; Updated: 03122018In the original version of this Article, the affiliation details for Yan Fang were incorrectly given as \u201cZJU-UoE Institute, Zhejiang University School of Medicine, Hangzhou 310058, China\u201d. This has now been corrected in both the PDF and HTML versions of the Article."}
+{"text": "Nature Communications8: Article number: 14969; DOI: 10.1038/ncomms14969 (2017); Published: 04252017; Updated: 06202017In the original version of this Article, which was received on 04 November 2016, the received date was incorrectly given as 04 November 2017. This has now been corrected in both the PDF and HTML versions of the Article."}
+{"text": "Nature Communications6: Article number: 7143; DOI: 10.1038/ncomms8143 (2015); Published: 05152015; Updated: 03262018The original HTML version of this Article had an incorrect article number of 8143; it should have been 7143. This has now been corrected in the HTML; the PDF version of the Article was correct from the time of publication."}
+{"text": "Nature Communications8: Article number: 14715; DOI: 10.1038/ncomms14715 (2017); Published: 03092017; Updated: 04242017In Fig. 2 of this Article, the inset image in the bottom panel was inadvertently omitted during the production process. The correct version of the Fig. 2 is shown below as"}
+{"text": "Scientific Reports6: Article number: 3960910.1038/srep39609; published online: 12202016; updated: 01232017This Article contains a typographical error in the Affiliation of the author Tingyong Feng. The correct affiliation is listed below:School of Psychology, Southwest University, Chongqing, China."}
+{"text": "Scientific Reports5: Article number: 991810.1038/srep09918; published online: 04212015; updated: 03192018Correction to: The original version of this Article contained a typographical error in the volume number \u20185\u2019 was incorrectly given as \u20184\u2019. This error has now been corrected in the PDF and HTML versions of the Article."}
+{"text": "Scientific Reports6: Article number: 2552310.1038/srep25523; published online: 05102016; updated: 05172018The original version of this Article contained an error in the indexing of the author Anang A. Shelat. This error has now been corrected."}
+{"text": "Nature Communications8: Article number: 13708 ; DOI: 10.1038/ncomms13708 (2016); Published: December162016; Updated: march042017The financial support for this Article was not fully acknowledged. The acknowledgements should have included the following:The European Community FP7 grant no. 602239 (ATECT)."}
+{"text": "Nature Communications7: Article number: 13903; DOI: 10.1038/ncomms13903 (2016); Published 12132016; Updated 01202017The original version of this Article contained a typographical error in the spelling of the author Stephen F. Price, which was incorrectly given as Stephen A. Price. This has now been corrected in both the PDF and HTML versions of the Article."}
+{"text": "Scientific Reports6: Article number: 3316810.1038/srep33168; published online: 09092016; updated: 01232017The original version of this Article contained an error in the order of author names, which were incorrectly given as \u2018Naeime Karamipour, Mohammad Mehrabadi & Yaghoub Fathipour\u2019.These errors have now been corrected in the HTML and PDF versions of this Article."}
+{"text": "Nature Communications8: Article number: 13804; DOI: 10.1038/ncomms13804 (2017); Published: 01052017; Updated: 05032017In Fig. 7b of this Article, traces depicting the average MUA response evoked by the target (red) and distractor (blue) were inadvertently omitted during the production process. The correct version of Fig. 7 appears below as"}
+{"text": "Scientific Reports6: Article number: 35429; 10.1038/srep35429 published online: 10202016 updated: 01112017.The Supplementary Information file originally published with this Article contained incorrect Figures for the \u2018NMR spectra of all new compounds\u2019. This error has now been corrected in the Supplementary Information file that accompanies the Article."}
+{"text": "Nature Communications8: Article number:15137 ; DOI: 10.1038/ncomms15317 (2017); Published: 06052017; Updated 06302017In the original HTML version of this Article, which was published on 5 June 2017, the publication date was incorrectly given as 5 July 2017. This has now been corrected in the HTML; the PDF version of the paper was correct from the time of publication."}
+{"text": "Scientific Reports6: Article number: 2842210.1038/srep28422; published online: 06222016; updated: 01122017A supplementary dataset containing 3411 genes and their expression profiles from 303 microarrays available in the public domain, Gene Expression Omnibus (GEO) was omitted from the original version of this Article. This has been corrected in the HTML version of the Article; the PDF version was correct at time of publication."}
+{"text": "Scientific Reports6: Article number: 37810; 10.1038/srep37810 published online: 11252016; updated: 04062018.The original version of this Article contained an error in the indexing of the author Shaymaa Mohamed Mohamed Badawy. This error has now been corrected."}
+{"text": "Scientific Reports6: Article number: 37908; 10.1038/srep37908 published online: 11292016; updated: 02102017.The original version of this Article contained an error in the spelling of the author Pankaj Ror which was incorrectly given as Pankaj Kumar. This has now been corrected in the PDF and HTML versions of the Article."}
+{"text": "Nature Communications7: Article number: 13611; DOI: 10.1038/ncomms13611 (2016); Published 12052016; Updated 12172017The original version of this Article contained a typographical error in the spelling of the author S.A. Cannas, which was incorrectly given as S. Cannas. This has now been corrected in both the PDF and HTML versions of the Article."}
+{"text": "Scientific Reports7: Article number: 44794; 10.1038/srep44794 published online: 03202017; updated: 12222017.The original version of this Article contained a typographical error in the spelling of the author Jack van Horssen, which was incorrectly given as Jack Van Horsen. This has now been corrected in the PDF and HTML versions of the Article, and in the accompanying Supplementary Dataset File."}
+{"text": "Nature Communications7: Article number: 12951; DOI: 10.1038/ncomms12951 (2016); Published 11252015; Updated 12172017The authors inadvertently omitted Richard Bianco, who provided consultation for the experimental surgical services, from the author list. This has now been corrected in both the PDF and HTML versions of the Article."}
+{"text": "Scientific Reports6: Article number: 3616810.1038/srep36168; published online: 11032016; updated: 11302016The original version of this Article contained errors in the name of the author Deepika, which was incorrectly given as Deepika Goyal.These errors have now been corrected in the PDF and HTML versions of the Article."}
+{"text": "Scientific Reports7: Article number: 45919; 10.1038/srep45919 published online: 04042017; updated: 05162017.The original version of this Article contained an error in the spelling of the author Cagla Ozgit-Akgun, which was incorrectly given as \u00c7agla Ozgit-Akgun. This error has now been corrected in the PDF and HTML versions of the Article."}
+{"text": "Scientific Reports6: Article number: 3713710.1038/srep37137; published online: 11162016; updated: 03132017This Article contains errors in Figure 6c. The Pearson correlation values for the automated and manually prepared samples were inadvertently switched. The correct Figure 6c appears below as"}
+{"text": "Scientific Reports6: Article number: 3578810.1038/srep35788; published online: 10202016; updated: 02242017The original version of this Article contained a typographical error in the spelling of the author Wenguang Xu, which was incorrectly given as Wengguang Xu. This has now been corrected in the PDF and HTML versions of the Article."}
+{"text": "Nature Communications8: Article number: 14944; DOI: 10.1038/ncomms14944 (2017); Published: 04212017; Updated: 06062017The HTML version of this Article previously published had an incorrect publication date of 20 April 2017; it should have been 21 April 2017. This has now been corrected in the HTML; the PDF version of the paper was correct from the time of publication."}
+{"text": "After the publication of this article it was nAquatic Biosystems 2012, 12:33, which should be: Hayman et al. BMC Geriatrics, 2012, 12:33.An incorrect heading at the top of each page: Hayman et al. 2.The citation at the end of the article which was:This affected:Hayman et al.: Life and Living in Advanced Age: A Cohort Study in New Zealand -Te Pu\u0101waitanga o Nga Tapuwae Kia Ora Tonu, LiLACS NZ: Study protocol. Aquatic Biosystems 2012 12:33.This was incorrect and should be:Hayman et al.: Life and Living in Advanced Age: A Cohort Study in New Zealand -Te Pu\u0101waitanga o Nga Tapuwae Kia Ora Tonu, LiLACS NZ: Study protocol. BMC Geriatrics 2012 12:33."}
+{"text": "Scientific Reports7: Article number: 44894; 10.1038/srep44894 published online: 03202017; updated: 08292017.This article was published twice in error during a change in production systems. The publisher apologizes to the authors and readers for the error. When citing this work, please refer to the original version.1"}
+{"text": "Scientific Reports6: Article number: 25462; 10.1038/srep25462 published online: 05052016; updated: 10102016.In this Article, the values given in the column labeled \u2018compound\u2019 of Table 1 are incorrect. The correct"}
+{"text": "Scientific Reports7: Article number: 4300010.1038/srep43000; published online: 02232017; updated: 05122017This Article contains an error in Figure 8: the oxygen percentage for the black columns is incorrectly labeled as 21% instead of the correct value of 5%. The correct Figure 8 appears below as"}
+{"text": "Nature Communications8: Article number: 15845 ; DOI: 10.1038/ncomms15845 (2017); Published: 06202017; Updated: 07112017An incorrect version of the Supplementary Information was inadvertently published with this Article which included incorrect figure references in Supplementary Table 4. The Article has now been updated to include the correct version of the Supplementary Information."}
+{"text": "Scientific Reports7: Article number: 40259; 10.1038/srep40259 published online: 01112017; updated: 08242017.In the Supplementary Information file originally published with this Article, References 1\u20135 were omitted. This error has been corrected in the Supplementary Information that now accompanies the Article."}
+{"text": "Nature Communications7: Article number:13707 ; DOI: 10.1038/ncomms13707 (2016); Published: 12192016; Updated: 06302017The original version of this Article contained an error in the gene ID for TimRhom I, cited in the Methods, which specified an unrelated gene. The correct gene ID for TimRhom I is Tb927.9.8260. This has now been corrected in both the PDF and HTML versions of the Article."}
+{"text": "Nature Communications7 Article number: 10144 ; DOI: 10.1038/ncomms10144 (2016) Published: 01112016; Updated: 08042017The original version of this Article contained an error in the spelling of the author Giorgos Gouridis which was incorrectly given as Giorgos Guoridis. This has now been corrected in both the PDF and HTML versions of the Article."}
+{"text": "Scientific Reports5: Article number: 1026310.1038/srep10263; published online: 06232016; updated: 09072016In the Supplementary Information file originally published with this Article, Figures S1 and S2 were omitted. These errors have been corrected in the Supplementary Information that now accompanies the Article."}
+{"text": "Scientific Reports6: Article number: 3580510.1038/srep35805; published online: 10262016; updated: 03132017A glitch in the authors\u2019 reference-management software led to extensive errors in the reference list and in-text citations. These errors have been corrected in the PDF and HTML versions of the Article."}
+{"text": "Scientific Reports7: Article number: 4100910.1038/srep41009; published online: 01202017; updated: 04062017In the original version of this Article, the link to the Supplementary Information file was omitted. This has now been corrected in the PDF and HTML versions of the paper."}
+{"text": "Scientific Reports6: Article number: 39511; 10.1038/srep39511 published online: 12222016; updated: 10202017.A Supplementary Information data file and Supplementary Mathematica notebook file were omitted from the original version of this Article. This has been corrected in the PDF and HTML version of the Article."}
+{"text": "Nature Communications7: Article number: 10427 ; DOI: 10.1038/ncomms10427 (2016); Published: 01292016; Updated: 03092016The original version of this article contained an error in the spelling of the author C. Martijn de Sterke, which was incorrectly given as de Sterke C. Martijn. This has now been corrected in both the PDF and HTML versions of the article."}
+{"text": "Scientific Reports7: Article number: 44888; 10.1038/srep44888 published online: 03202017; updated: 08292017.This article was published twice in error during a change in production systems. The publisher apologizes to the authors and readers for the error. When citing this work, please refer to the original version.1"}
+{"text": "Nature Communications8: Article number: 14112; DOI: 10.1038/ncomms14112 (2017); Published: 07152015; Updated: 02162017The original version of this Article contained a typographical error in the spelling of the Author Preetam Janakirama, which was incorrectly given as Preetam Jankirama. This has now been corrected in both the PDF and HTML versions of the Article."}
+{"text": "There are errors in the Author Contributions. The correct contributions are: Conceptualization: MG EB. Data curation: MG ET EB. Formal analysis: MG ET EB. Methodology: MG EB. Supervision: MG CM EB. Writing-original draft: MG CM ET EB.There are errors in the Funding section. The correct funding information is as follows: This study was conducted when Massimo Grassi was supported by the grant CPDA123458 (\"Progetto di ricerca di Ateneo\"), and Chiara Meneghetti by the grant CPDA140302 (\"Progetto di ricerca di Ateneo\") awarded by the University of Padova. The Department of General Psychology financially supported Erika Borella for this study."}
+{"text": "Scientific Reports5: Article number: 1651110.1038/srep16511; published online: 11102015; updated: 01082018The original version of this Article contained a typographical error in the spelling of the author Maisoon Al-Jawad, which was incorrectly given as Maisoon AI-Jawad. This has now been corrected in the PDF and HTML versions of the Article."}
+{"text": "Scientific Reports6: Article number: 3817110.1038/srep38171; published online: 11022016; updated: 03162017The original version of this Article contained errors in the spelling of the authors Chung-Yuh Tzeng and Hsueh-Yao Chu, which were incorrectly given as Chung-Yuh Tseng and Shueh-Yao Chu respectively. These errors have now been corrected in the PDF and HTML versions of the Article."}
+{"text": "Nucleic Acids Res (2017). doi: 10.1093/nar/gkx695The name of Hediye Erdjument-Bromage was misspelled in the original version of this paper. This has now been corrected online and in print."}
+{"text": "Scientific Reports6: Article number: 3811310.1038/srep38113; published online: 11292016; updated: 05262017The original version of this Article incorrectly included Haibing Chen as a corresponding author. This error has now been corrected in the PDF and HTML versions of this Article."}
+{"text": "Nature Communications8: Article number:15745 ; DOI: 10.1038/ncomms15745 (2017) Published: 06072017; Updated: 06302017The financial support for this Article was not fully acknowledged. The Acknowledgements should have included the following:The publication charges for this article have been funded by a grant from the publication fund of UiT The Arctic University of Norway."}
+{"text": "There are errors in Table 4. The correct version of Table 4 can be seen here:Part 1: Part 2: In the supplemental PDF download of this article, the Table 4 is correct, but missing the footnotes. The missing footnote information is: RSA values for proteins marked with * were determined from homology models (SWISS MODEL repository) and the PDB code given is that of the template (T) used for the model. Buried residues (RSA < 20 %) are in bold. Secondary structure information for residue determined by DSSP: Alpha helix (H), extended strand participating in beta ladder (E), 310-helix (G), hydrogen bonded turn (T), bend (S), loop/irregular (-)."}
+{"text": "Scientific name: Pimoa delphinicaSpecies authority: Mammola, Hormiga & Isaia, 2016Kingdom: AnimaliaPhylum: ArthropodaClass: ArachnidaOrder: AraneaeFamily: PimoidaeTaxonomic notes: Pimoa delphinica is a medium-sized spider , with slender legs and a brown-reddish coloration . The species\u2014previously misidentified with P. rupicola \u2014was described in 2016. It is readily distinguishable from the other species of European pimoids by morphological characters in male and female genitalia .Region for assessment: GlobalBiogeographic realm: PalearcticCountries: ItalyMap of records (image): Fig. 2Map of records (Google Earth): Suppl. material 1Basis of EOO and AOO: Known habitat extentBasis (narrative): During relatively intense speleological research studies in the Western Alps, we collected Pimoa delphinica in a few caves and military bunkers in the municipalities of Casteldelfino, Sampeyre and Sant'Anna di Bellino . Specifically, the species occurred in four small wild caves and a few subterranean military bunkers in Casteldelfino and Sant'Anna di Bellino and an abandoned house in the hamlet of Becetto (Sampeyre). Two additional localities reported in Isaia et al. (2011) and Mammola et al. (2016b)\u2014Buco del Nebin 1 [Speleological Cadastre: Pi 1158] and Buco del Nebin 2 [Pi 1159] caves\u2014are in need of verification, since only juvenile specimens were collected. However, even if confirmed, these additional localitites would fall within the known extent of occurrence of the species . Despite our extensive study of Pimoa specimens from Italy and France\u2014including material stored in Museums or private collections and original records\u2014we have not been able to find additional records of Pimoa delphinica outside this small area .We used the verified occurrence records of the species to calculate the extent of occurrence (EOO) as the minimum convex hull and the area of occupancy (AOO) through a 2x2 km2 grid, as implemented in the red R package (Cardoso 2016).Min Elevation/Depth (m): 1230Max Elevation/Depth (m): 2242Range description: Pimoa delphinica is a stenoendemic species with a restricted Western Alpine distribution. The species is recorded in seven nearby localities, in the high Varaita valley. Its distribution range represents a small enclave (ca. 20 km2) within the range of distribution of the sister species P. graphitica Mammola, Hormiga & Isaia, 2016.Type status:Other material. Occurrence: recordedBy: Stefano Mammola, Alessandro Girodo; individualCount: 2; sex: female; lifeStage: adult, juvenile; Taxon: scientificName: Pimoadelphinica; kingdom: Animalia; phylum: Arthropoda; class: Arachnida; order: Araneae; family: Pimoidae; genus: Pimoa; specificEpithet: delphinica; scientificNameAuthorship: Mammola, Hormiga, Isaia, 2016; Location: country: Italy; stateProvince: Piedmont; county: CN; municipality: Casteldelfino; locality: Military bunker 1 near the road to Casteldelfino; verbatimElevation: 1280 m; minimumElevationInMeters: 1280; maximumElevationInMeters: 1280; locationRemarks: Abandoned military bunker (II World War); verbatimCoordinates: 44\u00b035'07.21\"N, 7\u00b004'40.02\"E; georeferenceProtocol: GPS; Identification: identifiedBy: Stefano Mammola, Marco Isaia; dateIdentified: 2016; Event: samplingProtocol: hand collected; eventDate: 12 Dec 2016; Record Level: basisOfRecord: PreservedSpecimenType status:Other material. Occurrence: recordedBy: Stefano Mammola, Alessandro Girodo; individualCount: 3; sex: female; lifeStage: adult, juvenile; Taxon: scientificName: Pimoadelphinica; kingdom: Animalia; phylum: Arthropoda; class: Arachnida; order: Araneae; family: Pimoidae; genus: Pimoa; specificEpithet: delphinica; scientificNameAuthorship: Mammola, Hormiga, Isaia, 2016; Location: country: Italy; stateProvince: Piedmont; county: CN; municipality: Casteldelfino; locality: Military bunker 2 near the road to Casteldelfino; verbatimElevation: 1288 m; minimumElevationInMeters: 1288; maximumElevationInMeters: 1288; locationRemarks: Abandoned military bunker (II World War); verbatimCoordinates: 44\u00b035'07.70\"N, 7\u00b004'40.15\"E; georeferenceProtocol: GPS; Identification: identifiedBy: Stefano Mammola, Marco Isaia; dateIdentified: 2016; Event: samplingProtocol: hand collected; eventDate: 12 Dec 2016; Record Level: basisOfRecord: PreservedSpecimenType status:Other material. Occurrence: recordedBy: Alessandro Girodo, Paolo Bertacco; individualCount: 2; sex: females; lifeStage: adults; Taxon: scientificName: Pimoadelphinica; kingdom: Animalia; phylum: Arthropoda; class: Arachnida; order: Araneae; family: Pimoidae; genus: Pimoa; specificEpithet: delphinica; scientificNameAuthorship: Mammola, Hormiga, Isaia, 2016; Location: country: Italy; stateProvince: Piedmont; county: CN; municipality: Casteldelfino; locality: Miniera di Casteldelfino, galleria Auriol (Borgata Ciampanesio); verbatimElevation: ca. 970 m; locationRemarks: Mineshaft; verbatimCoordinates: 44\u00b035'10.3\"N, 7\u00b007'06.6\"E; verbatimCoordinateSystem: WGS84; decimalLatitude: 44.5862; decimalLongitude: 7.1185; georeferenceProtocol: GPS; Identification: identifiedBy: Stefano Mammola, Marco Isaia; dateIdentified: 2016; Event: samplingProtocol: hand collected; eventDate: 16 Dec 2016; habitat: Subterranean; Record Level: basisOfRecord: PreservedSpecimenEOO (km2): 26Trend: UnknownJustification for trend: The species is troglophile (sensu Sket 2008), showing a preference for dark and moisty habitats. Yet, the species exhibits a moderate plasticity in its ecological requirements, being able to colonize both cave and extra-cave environments, such as forests in high altitude habitats. The distribution range of Pimoa delphinica is enclosed within the range of the more widespread P. graphitica, which is apparently competing with the former thus limiting its expansion . The subterranean habitats colonized by P. delphinica are as yet not threatened by direct human activities. However, biogeographic studies and genetic data suggested that past climate change determined strong contraction in the distribution ranges of the species of alpine Pimoa . It is thus plausible that anthropogenic climate change may determine reduction or habitat shift for this species. In order to confirm this hypothesis statistically, a deeper study of the detailed occurrence of this species in its distribution range is required.Causes ceased?: UnknownCauses understood?: UnknownCauses reversible?: UnknownExtreme fluctuations?: NoTrend: UnknownJustification for trend: See paragraph \"Extent of Occurrence\".Causes ceased?: UnknownCauses understood?: UnknownCauses reversible?: UnknownExtreme fluctuations?: NoAOO (km2): 12Number of locations: Trend: StableExtreme fluctuations?: NoNumber of individuals: Unknown.Trend: UnknownJustification for trend: No information about population size are currently available.Causes ceased?: UnknownCauses understood?: UnknownCauses reversible?: UnknownExtreme fluctuations?: NoPopulation Information (Narrative): A census of the population has never been attempted. According to our observations, populations are locally abundant. In two caves in which Pimoa delphinica was found in syntopy with the congeneric P. graphitica, mixed nuclear alleles between the two species have been found, indicating the existence of unidirectional introgression of males of P. graphitica into females of P. delphinica .Number of subpopulations: 2Trend: StableJustification for trend: Examining the known range of distribution and taking into account habitat connectivity, it is possible to identify two subpopulations within the range. The first subpopulation includes the localitites from Casteldelfino and the Bellino valley, which are more connected through alpine scree and larch woods, acting as potential route of dispersal. The other subpopulation is found on the other slope of the Varaita valley, in the nearby of the hamlet of Becetto . The subpopulation are as yet not threatened.Extreme fluctuations?: NoSevere fragmentation?: NoJustification for fragmentation: System: TerrestrialHabitat specialist: YesHabitat (narrative): The species primarily lives in the twilight zone of wild caves and other similar sheltered habitats, in high alpine environments . Healthy populations were also observed in artificial subterranean habitat (military bunkers and mines), offering suitable cool climatic conditions . Further individuals of P. delphinica were collected in pitfall traps placed within the rocky debris on the floor of the cellar of an abandoned cottage . During summertime, we observed juveniles\u2014tentatively classified as P. delphinica\u2014in an epigean environment, near the locus typicus , in a larch (Larix decidua) wood. Accordingly, it is possible that juveniles of P. delphinica may be able to disperse trough epigean habitats under suitable climatic condition. Extra-cave dispersal was also documented for the congeneric alpine species P. graphitica and P. rupicola, as justified by occasional catches of juveniles and males in pitfall traps placed in the leaf litter of broad-leaved woods at mid-altitudes .Trend in extent, area or quality?: StableHabitat importance: Major ImportanceHabitats: 7. Caves and Subterranean Habitats (non-aquatic)Habitat importance: MarginalHabitats: 1. ForestSize: Total length (leg excluded) = Male: 7 mm, Female: 10.5 mmGeneration length (yr): 1Dependency of single sp?: NoEcology and traits (narrative): Little is known about the ecology of Pimoa delphinica. We report the result of our sporadic observations, which are not supported by specific studies or statistical inference. Like other Pimoa species , P. delphinica exhibits a moderate ecological plasticity. In caves, it is found preferentially in the twilight zone. We observed adult males and females during the summertime. Adults display thanatotic behaviour when disturbed, possibly as a protection against predators . Depositions of cocoons occurs in July and cocoons are guarded by females. Females affix substrate particles to their cocoons .Justification for threats: See \"Extent of occurrence\".Threat type: FutureThreats: 11.1. Climate change & severe weather - Habitat shifting & alterationJustification for conservation actions: A portion of the distribution range of Pimoa delphinica falls within the border of the Natural Park \"Parco del Monviso\".The installation of information panels educating the visitors about this peculiar endemic species would positively increase the awareness of the caves as a natural heritage deserving protection.Conservation action type: In PlaceConservation actions: 2.1. Land/water management - Site/area managementConservation action type: NeededConservation actions: 4. Education & awarenessResearch needed: 1. ResearchJustification for research needed: Supplementary material 1PimoadelphinicaExtent of Occurrence of Data type: Geographic rangeFile: oo_102120.kmlMammola S., Hormiga G., Isaia M."}
+{"text": "Scientific Reports6: Article number: 3578910.1038/srep35789; published online: 10212016; updated: 12232016The original version of this Article contained a typographical error in the name of the author Dan Zheng, which was incorrectly given as Zheng Dan. This has now been corrected in both the PDF and HTML versions of the Article."}
+{"text": "Nature Communications8 Article number: 15909 ; DOI: 10.1038/ncomms15909 (2017); Published 06262017; Updated 07272017.An incorrect version of the Supplementary Information was inadvertently published with this Article where the wrong file was included. The Article has been updated to include the correct version of the Supplementary Information."}
+{"text": "Scientific Reports7: Article number: 3997810.1038/srep39978; published online: 01052017; updated: 03092017This Article contains an error in the order of the Figures."}
+{"text": "Scientific Reports6: Article number: 20077; 10.1038/srep20077 published online: 01292016; updated: 06302017.The original HTML version of this Article listed an incorrect volume number. This has now been corrected in the HTML version; the PDF version was correct at the time of publication."}
+{"text": "Nature Communications8: Article number: 14014; DOI: 10.1038/ncomms14014 (2017); Published 01102017; Updated 05192017cains@hotmail.co.uk. The error has been corrected in the HTML and PDF versions of the Article.The original version of this Article contained an error in the email address of the corresponding author Sarah Cains. The correct email is"}
+{"text": "Scientific Reports7: Article number: 4333810.1038/srep43338; published online: 02232017; updated: 04062017The original HTML version of this Article contained formatting errors in the \u201cGravimetric water (ice) content (%)\u201d row. The correct This error has been corrected in the HTML version of the Article; the PDF version was correct at the time of publication."}
+{"text": "Scientific Reports6: Article number: 3337010.1038/srep33370; published online: 09262016; updated: 11242016This Article contains an incorrect version of Figure 4. The correct version of Figure 4 appears below as"}
+{"text": "Nature Communications5: Article number: 3562; DOI: 10.1038/ncomms4562 (2014); Published online: 04152014; Updated: 04102018The original HTML version of this Article had an incorrect article number of 4562; it should have been 3562. This has now been corrected in the HTML; the PDF version of the Article was correct from the time of publication."}
+{"text": "Nature Communications8: Article number: 15987; DOI: 10.1038/ncomms15987 (2017); Published: 07112017; Updated: 03132018In the original version of this Article, financial support was not fully acknowledged. The PDF and HTML versions of the Article have now been corrected to include the following:\u2018This work was supported by grant I10-0095 from the STARR foundation.\u2019"}
+{"text": "In the original publication one authWrong: Miro, ZupcicCorrect: Zupcic, Miro"}
+{"text": "Scientific Reports6: Article number: 32096; 10.1038/srep32096 published online: 08242016; updated: 01192017.The original version of this Article contained a typographical error in the spelling of the author Kathleen Cheng, which was incorrectly given as Katherine Cheng. This has now been corrected in the PDF and HTML versions of the Article."}
+{"text": "Nature Communications8: Article number: 14530; DOI: 10.1038/ncomms14530 (2017); Published 02212017; Updated 03212017The financial support for this Article was not fully acknowledged. The Acknowledgements should have included the following:The research was funded by a grant from the Medical Research Council (MR/N004299/1) and the German Research Foundation (DFG) through the priority programme 1608."}
+{"text": "AbstractMantispidae are a distinctive group of Neuroptera known for the adults\u2019 possession of raptorial forelegs. There are four recognised, extant subfamilies of Mantispidae: the Mantispinae, Symphrasinae, Calomantispinae and Drepanicinae. The life history and larval behaviour of the subfamily Mantispinae is best known: the immatures are spider egg predators. Among the three remaining subfamilies, larval Symphrasinae and Calomantispinae most likely predate on other small arthropods, while the immature life history of Drepanicinae, until now, remained completely unknown.The Ditaxisbiseriata (Westwood), within a well-established Macadamia orchard in northern New South Wales, Australia. A female deposited fertile eggs, allowing this first report of egg batch and first instar morphology. The mass emergence of mobile pharate adults from the ground was observed in the same month in two consecutive years. The pharates climbed tree-trunks for a distance before undergoing eclosion. The newly-hatched first instar larvae are campodeiform and prognathous; a typical morphology among Mantispidae. After hatching, they drop to the ground and burrow into soil. They are unpigmented and appear to lack stemmata. Together, the observations infer that the immature component of the life cycle takes place underground in forested habitats. If this feature is common among the Drepanicinae, it might explain why so little is known of the biology of the immature stages.Here we provide observations of annual, near-synchronised, mass emergences of adults of the drepanicine, Neuroptera is one of the most ancient orders of insects that show complete metamorphosis. Larvae are typically predaceous with elongate, slender mouthparts that are adapted for piercing and sucking , based on the raptorial forelimbs and elongated prothorax have been reared in the laboratory on immature Lepidoptera, Hymenoptera and Coleoptera between 11th and 16th September 2015. This appeared to have no effect on subsequent emergences of pharate adults.The study site was a th to 22nd September 2015 and from 17th to 24th September 2016. Mature adults and pharate adults were collected on and after 5th September 2015.Observations of adult eclosion were made between 5Some adults were kept in captivity (in petri dishes or insect containers) while others were killed and pinned. Pharate adults were preserved in ethanol.Both field and studio photographs were taken, with studio images being of both live and preserved specimens. To record larval morphology, ethanol-preserved first instars were washed in water and cleared in KOH before slide-mounting and photomicroscopy.For the timelapse observations of adult eclosion, a Canon EOS 60D dSLR camera with 100 mm macro lens was mounted on a tripod and focused on a pharate adult and 759 images were taken over a period of 43 minutes. The camera was controlled by an external remote control and a canon speedlite 580EX II was used to light the specimen. A video was produced comprising of all 759 images played at 25 frames per second.Type status:Other material. Occurrence: catalogNumber: JD1DB; recordedBy: James B Dorey; individualCount: 1; lifeStage: adult; associatedMedia: http://www.jamesdoreyphotography.com.au/Nonpublic-galleries/Mantispids/n-s3NpJH/; Taxon: taxonID: urn:lsid:biosci.ohio-state.edu:osuc_names:275502; scientificName: Ditaxisbiseriata; kingdom: Animalia; phylum: Arthropoda; class: Insecta; order: Neuroptera; family: Mantispidae; genus: Ditaxis; Location: country: Australia; stateProvince: New South Wales; locality: Newrybar; verbatimElevation: 11 m; locationRemarks: label transliteration: \"Newrybar, NSW, 28\u02da43'52.0\"S 153\u02da33'18.8\"E, J.B.Dorey, 05/09/2015, JD1DB\"; verbatimCoordinates: 28\u02da43'52.0\"S 153\u02da33'18.8\"E; decimalLatitude: -28.731111; decimalLongitude: 153.555222; georeferenceProtocol: label; Identification: identifiedBy: Kevin Lambkin; dateIdentified: 2017; Event: samplingProtocol: sweeping; Record Level: language: en; collectionID: JD1DB; collectionCode: Insects; basisOfRecord: PreservedSpecimenType status:Other material. Occurrence: catalogNumber: JD2DB; recordedBy: James B Dorey; individualCount: 1; lifeStage: adult; associatedMedia: http://www.jamesdoreyphotography.com.au/Nonpublic-galleries/Mantispids/n-s3NpJH/; Taxon: taxonID: urn:lsid:biosci.ohio-state.edu:osuc_names:275502; scientificName: Ditaxisbiseriata; kingdom: Animalia; phylum: Arthropoda; class: Insecta; order: Neuroptera; family: Mantispidae; genus: Ditaxis; Location: country: Australia; stateProvince: New South Wales; locality: Newrybar; verbatimElevation: 11 m; locationRemarks: label transliteration: \"Newrybar, NSW, 28\u02da43'52.0\"S 153\u02da33'18.8\"E, J.B.Dorey, 05/09/2015, JD2DB\"; verbatimCoordinates: 28\u02da43'52.0\"S 153\u02da33'18.8\"E; decimalLatitude: -28.731111; decimalLongitude: 153.555222; georeferenceProtocol: label; Identification: identifiedBy: Kevin Lambkin; dateIdentified: 2017; Event: samplingProtocol: sweeping; Record Level: language: en; collectionID: JD2DB; collectionCode: Insects; basisOfRecord: PreservedSpecimenType status:Other material. Occurrence: catalogNumber: JD3DB; recordedBy: James B Dorey; individualCount: 1; lifeStage: adult; associatedMedia: http://www.jamesdoreyphotography.com.au/Nonpublic-galleries/Mantispids/n-s3NpJH/; Taxon: taxonID: urn:lsid:biosci.ohio-state.edu:osuc_names:275502; scientificName: Ditaxisbiseriata; kingdom: Animalia; phylum: Arthropoda; class: Insecta; order: Neuroptera; family: Mantispidae; genus: Ditaxis; Location: country: Australia; stateProvince: New South Wales; locality: Newrybar; verbatimElevation: 11 m; locationRemarks: label transliteration: \"Newrybar, NSW, 28\u02da43'52.0\"S 153\u02da33'18.8\"E, J.B.Dorey, 05/09/2015, JD3DB\"; decimalLatitude: -28.731111; decimalLongitude: 153.555222; georeferenceProtocol: label; Identification: identifiedBy: Kevin Lambkin; dateIdentified: 2017; Event: samplingProtocol: As pharat adult; Record Level: language: en; collectionID: JD3DB; collectionCode: Insects; basisOfRecord: PreservedSpecimenDitaxisbiseriata, is provided by A description of the subject of this study, Ditaxisbiseriata was distinguished from its sister species, Ditaxismeridiei, by characters of the adult vertex and colouration of the sclerites and emergence was observed simultaneously in nearby regenerated rainforest, suggesting that emergence is highly seasonal over the local area, perhaps through detection of photoperiod or some attribute of their yet-unknown food source, and that the life cycle covers a single year. Further, the presence in rainforest as well as in a location within the orchard with high soil moisture, dense canopy cover and numerous epiphytes hints at a rainforest association. The much higher prevalence of emergence in the Macadamia orchard compared to nearby regenerating rainforest could be due to more favourable conditions in the Macadamia orchard. It is possible that the coordinated emergence of D.biseriata facilitates mating because at least one of the females collected at the site produced fertile eggs. The species might not just be associated with rainforest; reports suggest that it is also common at the same time of year in open eucalyptus forest.As far as the authors are aware, mass, near-synchronous emergence of mantispids is a previously unreported phenomenon. It is uncertain if the emergence in such large numbers is a natural occurrence or an artefact of monoculture farming. Adults and exuviae were observed in other local Mantispidae, pupation generally takes place within a silken cocoon in a concealed location and the pharate adults leave the cocoon and walk some distance away before eclosing . Larval morphology was not detailed but it was noted that they lacked stemmata . In one stemmata , an obsetispidae and the rothidae . Comparitispinae , the ovetispinae . Distincrothidae , whose lrothidae . The antrothidae .D.biseriata are subterranean. If this life history was common to all or most Drepanicinae, it could explain the lack of historical knowledge about the immature stages of the subfamily. The larval diet remains unknown; they could be subterranean arthropod predators like the subfamilies Symphrasinae and Calomantispinae or spider-egg predators like their sister sub-family, Mantispinae. A clue, at least in this species, might lie in the apparent preference for moist soil and the rainforest association. Future studies could focus on taking soil samples in the orchard to determine what potential prey or host species are present and possibly to detect larvae or pupae in situ.Together, the behaviour and morphology of larvae, including their lack of stemmata, their tendency to drop from the egg and burrow into soil, and the subterranean origin of the pharate adults, support the premise that the larval and pupal stages of"}
+{"text": "Scientific Reports7: Article number: 46474; 10.1038/srep46474 published online: 04122017; updated: 12222017.This Article contains errors in Figure 3 where the authors calculated the probability of survival instead of the probability of mortality. The correct"}
+{"text": "Nature Communications5: Article number: 5446 ; DOI: 10.1038/ncomms6446 (2014); Published: 11172014; Updated: 08212017Because two of its three major findings have been invalidated, the authors wish to retract this Article3The symmetry error"}
+{"text": "Scientific Reports6: Article number: 3701610.1038/srep37016; published online: 11212016; updated: 02152017The original version of this Article contained referencing errors, where multiple instances of reference 5 were incorrectly given as reference 1. The publishers regret introducing these errors during final typesetting.This has now been corrected in the HTML and PDF versions of this Article."}
+{"text": "Nature Communications8 Article number:14632 ; DOI: 10.1038/ncomms14632 (2017); Published: 03082017; Updated: 03312017The original version of this Article contained an error in the spelling of post-transcriptional in the title of the paper. This has now been corrected in both the PDF and HTML versions of the Article."}
+{"text": "Scientific Reports7: Article number: 4112510.1038/srep41125; published online: 11242017; updated: 03162017The original version of this Article contained a typographical error in the spelling of the author Armand Bensussan which was incorrectly given as Armand Benssusan. This has now been corrected in the PDF and HTML versions of the Article."}
+{"text": "Scientific Reports6: Article number: 2724810.1038/srep27248; published online: 06062016; updated: 09212016While this paper was under review, a correction was published to reference 17, which indicated that the reported dosage rate was incorrect. Therefore, points 2\u20134 in the Supplementary Information of this paper cannot explain the reported discrepancy in metabolic rates. The authors apologize for this oversight."}
+{"text": "Scientific Reports7: Article number: 4081510.1038/srep40815; published online: 01192017; updated: 03232017The original version of this Article contained an error in the spelling of the author Xuan Qin, which was incorrectly given as Xun Qin. This has now been corrected in the PDF and HTML versions of the Article."}
+{"text": "Scientific Reports6: Article number: 3134710.1038/srep31347; published online: 08112016; updated: 05112018In the original version of this Article, the Supplementary Information files containing the supplementary figure and datasets were omitted. This error has now been corrected in the PDF and HTML versions of the Article."}
+{"text": "Scientific Reports7: Article number: 4504010.1038/srep45040; published online: 04282017; updated: 05262017The original version of this Article contained a typographical error in the spelling of the author Martin H. de Borst, which was incorrectly given as Martin de Borst. This has now been corrected in both the PDF and HTML versions of the Article."}
+{"text": "Scientific Reports6: Article number: 22834; 10.1038/srep22834 published online: 03092016; updated: 04262017.The Supplementary Information file originally published with this Article omitted Reference 1, and a number of equations contained errors. Therefore,now reads:now reads:now reads:These errors have been corrected in the Supplementary Information that now accompanies the Article."}
+{"text": "Scientific Reports6: Article number: 36161; 10.1038/srep36161 published online: 11022016; updated: 01192017.The original version of this Article contained an error in the spelling of Fatemeh Seyednasrollah, which was incorrectly given as Fatemeh Seyednasrollah sadat.This has now been corrected in the HTML and PDF versions of this Article."}
+{"text": "Nature Communications7 Article number:13702 ; DOI: 10.1038/ncomms13702 (2016); Published 12022016; Updated 02272017The financial support for this Article was not fully acknowledged. The acknowledgements should have included the following: The authors acknowledge Nano-Tera.ch for financial support."}
+{"text": "Scientific Reports6: Article number: 1996810.1038/srep19968; published online: 01292016; updated: 04052017The original HTML version of this Article listed an incorrect volume number. This has now been corrected in the HTML version; the PDF version was correct at the time of publication."}
+{"text": "Scientific Reports6: Article number: 29905; 10.1038/srep29905 published online: 10232016; updated: 10102016.In the Supplementary Information file originally published with this Article, Reference 1 was omitted. This error has now been corrected in the Supplementary Information that now accompanies the Article."}
+{"text": "Scientific Reports6: Article number: 2330510.1038/srep23305; published online: 03162016; updated: 01122017In this Article there is a plotting error in Figure 1b and c, due to the data sorting technique. The correct figure appears below as"}
+{"text": "Nature Communications8: Article number:15238; DOI: 10.1038/ncomms15238 (2017); Published: 05032017; Updated: 06272017An incorrect version of the Supplementary Information was inadvertently published with this Article. The HTML has now been updated to include the correct version of the Supplementary Information."}
+{"text": "Scientific Reports7: Article number: 4015710.1038/srep40157; published online: 01142017; updated: 05312018In the Corrigendum published 28 April 2017, the author Schalk van der Merwe was incorrectly indexed. This error has now been corrected."}
+{"text": "Nature Communications8: Article number:15559 ; DOI: 10.1038/ncomms15559 (2017); Published 05302017; Updated 07042017The original version of this Article contained an error in the email address of the corresponding author Daniel I. Simon. The correct email is Daniel.Simon@UHHospitals.org. The error has been corrected in the HTML and PDF versions of the article."}
+{"text": "Scientific Reports7: Article number: 4334010.1038/srep43340; published online: 02272017; updated: 03282017The original version of this Article contained an error in the spelling of author Tian Jian Lu, which was given as Tian Jain Lu.This has now been corrected in the HTML and PDF versions of this Article."}
+{"text": "Scientific Reports6: Article number: 39026; 10.1038/srep39026 published online: 12152016; updated: 01312017.The original version of this Article contained an error in the spelling of Sin-Hyeog Im, which was incorrectly given as Sin-Hyeog Lm. This has now been corrected in the PDF and HTML versions of this Article."}
+{"text": "Scientific Reports7: Article number: 4364710.1038/srep43647; published online 03132017; updated on 04242017This Article contains an error in the legend of"}
+{"text": "Scientific Reports7: Article number: 4552210.1038/srep45522; published online: 04032017; updated: 03192018Correction to: In the original version of this Article, the authors Maximilian P. J. de Courten and Barbora de Courten were incorrectly indexed. These errors have now been corrected."}
+{"text": "Scientific Reports6: Article number: 3388010.1038/srep33880; published online: 09272016; updated: 12092016The original version of this Article contained a typographical error in the spelling of Jianfang Chen, which was incorrectly given as Jian Feng Chen.This has now been corrected in the HTML and PDF versions of the Article"}
+{"text": "Scientific Reports6: Article number: 3386010.1038/srep33860; published online: 09202016; updated: 02172017The original version of this Article contained a typographical error in the spelling of the author Geoffrey R. Oxnard, which was incorrectly given as Geoffrey G. Oxnard.Additionally, the original version of this Article contained an error in Figure 4A, where an asterisk was omitted in error. The correct Figure 4 appears below as These errors have now been corrected in the PDF and HTML versions of the Article."}
+{"text": "Nature Communications7: Article number: 12554; DOI: 10.1038/ncomms12554 (2016); Published: 09132016; Updated: 11232017.x and y axis labels of the scatter graph were inadvertently inverted. This error has been corrected in both the PDF and HTML versions of the Article.The previously published version of this Article contained an error in Figure 1. In panel b the"}
+{"text": "Nature Communications7: Article number: 12597; DOI: 10.1038/ncomms12597 (2016); Published: 08312016; Updated: 05032017The authors inadvertently omitted Christine H\u00e4ger, who was involved in the initial characterization of Notch mutant mice presented in this Article, from the author list and Author contributions statement. These errors have now been corrected in both the PDF and HTML versions of the Article."}
+{"text": "Scientific Reports6: Article number: 2672010.1038/srep26720; published online: 06072016; updated: 10192016In this Article, there is an error in Figure 6. The arrows in the right-hand portion of the image are misplaced. The correct Figure 6 appears below as"}
+{"text": "Scientific Reports6: Article number: 3953510.1038/srep39535; published online 12232016; updated on 04242017The original HTML version of this Article listed an incorrect volume number. This has now been corrected in the HTML version; the PDF version was correct at the time of publication."}
+{"text": "Nature Communications7: Article number: 13660; DOI: 10.1038/ncomms13660 (2016); Published: 12162016; Updated: 04102018The original HTML version of this Article had an incorrect volume number of 8; it should have been 7. This has now been corrected in the HTML; the PDF version of the Article was correct from the time of publication."}
+{"text": "Nature Communications8: Article number:14385 ; DOI: 10.1038/ncomms14385 (2017); Published: 02092017; Updated: 06012017In the original version of Supplementary Data 1 associated with this Article, the list of predicted enhancer-associated insertions was inadvertently truncated. The HTML has now been updated to include the correct version of the Supplementary Data 1."}
+{"text": "Scientific Reports7: Article number: 41279; 10.1038/srep41279 published online: 02012017; updated: 08042017.In the original version of this Article, Supplementary Dataset 1 was omitted. This has been corrected in the HTML version of the Article; the PDF version was correct at the time of publication."}
+{"text": "Scientific Reports7: Article number: 4517010.1038/srep45170; published online: 03242017; updated: 05222018This Article contains an error in Figure 7, where the arrows indicating the helical directions are inconsistent with Figure 2. The correct Figure 7 appears below as"}
+{"text": "Nature Communications8: Article number: 14356; DOI: 10.1038/ncomms14356 (2017); Published: 02162017; Updated: 04182017The original version of this Article contained an error in the spelling of the author Carlos S. Moreno, which was incorrectly given as Carlos Moreno. This has now been corrected in both the PDF and HTML versions of the Article."}
+{"text": "Scientific Reports6: Article number: 3670210.1038/srep36702; published online: 11102016; updated: 01042017The original version of this Article contained errors. The publication date of the Article, 10th November 2016, was incorrectly listed as 10th October 2016.In addition, an incorrect version of There were typographical errors in formulas (1) and (2):now read:These errors have now been fixed in the HTML and PDF versions of this Article."}
+{"text": "Scientific Reports7: Article number: 3989010.1038/srep39890; published online: 01042017; updated: 03302017This Article contains a typographical error in the Results and Discussion section. In should read:"}
+{"text": "Nature Communications8: Article number: 15451 ; DOI: 10.1038/ncomms15451 (2017); Published 05162017; Updated 08232017The original version of this Article contained an error in the spelling of the author Leon Di Stefano, which was incorrectly given as Leon di Stephano. This has now been corrected in both the PDF and HTML versions of the Article."}
+{"text": "Nature Communications8: Article number: 15519; DOI: 10.1038/ncomms15519 (2017); Published: 05302017; Updated: 02212018In the originally published version of this Article, reference 23 did not refer to the correct paper. This error has now been corrected in both the HTML and PDF versions of the Article."}
+{"text": "Giant condyloma acuminata are associated with malignant transformation in up to 50% of cases, high recurrence rate, and poor prognosis. Treatment strategies have included wide local excision, abdominopelvic resection, and addition of radiotherapy and adjuvant and/or neoadjuvant systemic chemotherapy. Question\u2010Quiz: What is this condition and how should it be treated?Answer: A 53\u2010year\u2010old woman visited our gynecology emergency room complaining about a perianal mass, bleeding, and odor. Clinical examination revealed a giant mass originating from anorectum. Biopsy samples of the tumor were retrieved and sent for pathological examination. Results indicated a well\u2010differentiated squamous cell carcinoma on the ground of a giant condyloma acuminata (Fig.\u00a0IKP: Obstetrician and Gynaecologist, Author: involved in primary handling of the patient in the emergency room; KM: Obstetrician and Gynaecologist, Co\u2010author: involved in primary handling of the patient in the emergency room. GI: Oncology Radiologist, Member of the multidisciplinary oncological team: was responsible for radiation therapy received by the patient; DX: Oncology Radiologist: was responsible for radiation therapy received by the patient; VK: Surgeon, Member of the multidisciplinary oncological team: reviewed the manuscript; TMS: Surgeon, Director of the Surgical Department. ET: Obstetrician and Gynaecologist, Director of the Gynaecology Oncological Department. TMS and ET: were members of the multidisciplinary oncological team.None declared."}
+{"text": "Scientific Reports5: Article number: 1338610.1038/srep13386; published online: 08252015; updated: 08112018In the original version of this Article, the Supplementary Information file containing the derivation for individual payoffs was omitted. This error has now been corrected in the PDF and HTML versions of the Article."}
+{"text": "Scientific Reports7: Article number: 42845; 10.1038/srep42845 published online: 02202017; updated: 12222017.The original version of this Article contained an error in the spelling of the author Yuuki Imai, which was incorrectly given as Yu-ki Imai.This error has now been corrected in the PDF and HTML versions of the Article, and in the accompanying Supplementary Information."}
+{"text": "Scientific Reports5: Article number: 992110.1038/srep09921; published online: 04212015; updated: 03192018Correction to: The original version of this Article contained a typographical error in the volume number \u20185\u2019 was incorrectly given as \u20184\u2019. This error has now been corrected in the PDF and HTML versions of the Article."}
+{"text": "Scientific Reports5: Article number: 16922; 10.1038/srep16922 published online: 11202015; updated: 02212017.www.qzbiotech.com.The export of human derived tissues and related materials from China is currently subject to regulatory restrictions. Consequently, we are unable to share the human cell line described in this paper with researchers outside of China at the present time. However, scientists within China who wish to use this cell line for research only may obtain them from the following company: Cellular Biotech. Inc."}
+{"text": "The database includes the results from a geochemical and behavioral analysis of obsidian artifacts and debitage in the article entitled \u201cObsidian Procurement and Distribution in the Northwestern Maya Lowlands during the Maya Classic, a Regional Perspective\u201d Specifications TableValue of the data\u2022The data summarizes the statistical results from the behavioral analysis of all the artifacts analyzed.\u2022The data illustrates the raw results from the EDXRF study of each artifact, which can be compared and used for similar studies.\u2022The data complements similar comparative studies with analogous methodologies and techniques.1The 2Every artifact was analyzed using a behavioral analysis of the formal attributes and physical characteristics Ti: TitaniumMn: ManganeseFe: IronZn: ZincRb: RubidiumSr: StrontiumY: YttriumZr: ZirconiumNb: NiobiumPb: LeadTh: ThoriumB1S1: nomenclature given to each artifact: B (Bag number) and S (Sample number).RGM1: Rhyolite, Glass Mountain Sample 1."}
+{"text": "Scientific Reports5: Article number: 1247010.1038/srep12470; published online: 07272015; updated: 01082018In this Article, figure 1 contains errors. Errors were made during the preparation of figure 1: the same HylD blot was accidentally used in figures 1 and 2. The correct"}
+{"text": "Scientific Reports7: Article number: 4384610.1038/srep43846; published online: 03072017; updated: 04272017In the Supplementary Information file originally published with this Article, Supplementary Tables 1 and 2 were omitted. This error has been corrected in the Supplementary Information that now accompanies the Article."}
+{"text": "Scientific Reports6: Article number: 28680; 10.1038/srep28680 published online: 07062017; updated: 09062017.In the original version of this Article, the Supplementary Software files were omitted. This has been corrected in the HTML version of the Article; the PDF version was correct at the time of publication."}
+{"text": "Scientific Reports6: Article number: 34879; 10.1038/srep34879 published online: 10172016; updated: 01192017.The original version of this Article contained an error in the spelling of the author Peter Guttmann, which was incorrectly given as Peter Guttermann.This has now been corrected in the PDF and HTML versions of the Article."}
+{"text": "Scientific Reports6: Article number: 19007; 10.1038/srep19007 published online: 01082016; updated: 02212017.The original version of this Article contained an incorrect version of Supplementary Table S7. This error has now been corrected in the HTML version of this Article; the PDF version was correct at the time of publication."}
+{"text": "The new and evolving technologies of laser spectroscopy, laser cooling and trapping of atoms as well as squeezed states will have a dramatic impact on this area of metrology. While these topics have received a great deal of attention in their own right, there has not been a forum in which their impact on the field of fundamental measurements has been specifically addressed. For this reason, the National Bureau of Standards hosted a workshop on \u201cFundamental Measurements on Optically Prepared Atoms\u201d on September 29\u201330, 1986.Measurements of our fundamental scaling parameters . The second session dealt mainly with the kinetic state or velocity of atoms. Demonstration of highly efficient new laser-cooling techniques based on stimulated processes as well as spontaneous emission and speculation on what may be possible with ultra-cold atoms made for a very lively and exciting session. The idea that an atom placed in a box and cooled to a temperature so low that the deBroglie wavelength is long compared to atomic dimensions might lead to confinement with almost no perturbation from encounters with the walls. If verified experimentally, this idea could have profound consequences for precision measurements.The third session dealt with the limits to measurement accuracy as we understand them today and how those limits come into play with the new spectroscopic and cooling techniques. The last session dealt with an important applied field: the use of optically prepared atoms in frequency standards. Since frequency standards have many orders of magnitude more precision and accuracy than any other standard, they represent a great testing ground for the concepts discussed during the workshop.The workshop was attended by 45 people. Seven countries were represented with 40% of the attendees from outside the United States. Twenty-seven papers were presented in the four half-day sessions, which had to be augmented with an evening session to accommodate the lively discussion that followed most of the papers. The format of informal talks with no subsequent publication of papers was designed to encourage speculation and judging from the discussion during and following many of the talks, we were quite successful.A list of the workshops and talks follow:H. J. Kimble:Non-Classical Dynamics With Intra-Cavity AtomsP. Toschek:Absorption by the Numbers: Recent Spectroscopy of Trapped IonsD. McIntyre:Two-Photon Optical Ramsey Spectroscopy of Freely Falling AtomsL. Hunter:Search for an Electric Dipole Moment of the ElectronT. Bergeman:Proposed Application of Decelerated Atomic Beams to Observe Long-Lived (Interference Stabilized) Stark ResonancesS. A. Lee:Fast Beam Laser Spectroscopy: Present and FutureW. Fairbank:2 Reference Lines Near Hydrogen and Positronium Transitions at 4880\u00c5Precision Wavelength Measurement of TeS. Chu:Laser Cooling and Trapping of Atoms: Where are the Limits?C. Salomon:Cooling Atoms With Stimulated EmissionJ. Hall:Some Ideas About Experiments With Freely Falling AtomsW. Ertmer:Preparation of Cold Atoms for Precision MeasurementsW. Phillips:New and Future Experiments on Cooling and Trapping of Neutral AtomsF. Plumelle:+ IonsExperiments on Laser Cooled MgB. Jaduszliwer:Electron-Cesium Collisions With Optical State Preparation and AnalysisJ. Bahns:On Containerless Condensation of \u201cMirror\u201d MatterD. Wineland:Fundamental Limits to Spectroscopic AccuracyJ. S. Boulanger:Requirements for Evaluatable EnvironmentsJ. Shirley:Majorana Effects in Atomic BeamsA. DeMarchi:Does Spin Exchange Limit the Density of Neutral Vapors for Accurate Measurements?G. Hanes:Candidate Ions for Extended Observation PeriodsR. Douglas:Multiphoton Ionization for Atom-State Detection or State PreparationG. Theobald:Detailed Studies of Cesium Beam Optical Pumping; Applications to an Atomic ClockJ.-L. Picqu\u00e9:Laser Cooling and Optically Pumped Cesium Beam Frequency StandardsA. Clairon:The LPTF Optically Pumped Cesium Frequency StandardR. Drullinger:Design of the NBS Optically Pumped Frequency StandardM. Ohtsu:87Rb Atomic ClocksUltrahigh Sensitive Frequency Discrimination in Diode Laser Pumped H. Robinson:The Temperature Dependence of the Wall Shift in Some Evacuated Rb Cells"}
+{"text": "Nature Communications8: Article number: 14864; DOI: 10.1038/ncomms14864 (2017)); Published: 03282017; Updated: 04252017The original version of this Article contained a typographical error in the spelling of the author Beifang Niu, which was incorrectly given as Beifung Niu. This has now been corrected in both the PDF and HTML versions of the Article."}
+{"text": "Scientific Reports6: Article number: 27452; 10.1038/srep27452 published online: 06102016; updated: 09012016.The original version of this Article contained a typographical error in the spelling of the author Muhammad Sahimi, which was incorrectly given as Muhammad Sahim. This has now been corrected in the PDF and HTML versions of the Article."}
+{"text": "Nature Communications7: Article number: 13176; DOI: 10.1038/ncomms13176 (2017); Published 10192016; Updated 02222017y axis in In this article, there are errors in the labelling of the"}
+{"text": "There is an error in the first sentence of the fourth paragraph of the results section. The correct sentence is as follows: The relationships between experiential avoidance, coping functions and demographic/ contextual factors were explored (see Table 3).The last paragraph of the Limitations section is incorrect. The correct paragraph is as follows: Notwithstanding these limitations, the study offers novel insight into the relationship between self-harm, experiential avoidance and coping function, expanding on the existing literature to consider the recency and frequency of self-harm engagement.There are errors in the Author Contributions. The correct contributions are: Conceived and designed the experiments: EN KS ET. Performed the experiments: EN. Analyzed the data: EN KS ET. Wrote the paper: EN KS ET."}
+{"text": "Scientific Reports6: Article number: 20029; 10.1038/srep20029 published online: 01292016; updated: 06302017.The original HTML version of this Article listed an incorrect volume number. This has now been corrected in the HTML version; the PDF version was correct at the time of publication."}
+{"text": "Nature Communications7: Article number: 12185; DOI: 10.1038/ncomms12185 (2016); Published: 07152015; Updated: 11222016The GEO accession number provided in this article is incorrect; the correct number is GSE74893."}
+{"text": "Scientific Reports6: Article number: 3949310.1038/srep39493; published online: 12222016; updated: 04052017This Article contains an error in the order of the Figures, where Figures 2 and 3 were inverted. The correct"}
+{"text": "Nature Communications7: Article number: 1253710.1038/ncomms12537 (2016); Published: 07272016; Updated: 09022016In Fig. 6 of this article, the division between the zincblende and wurtzite phases is misplaced in the low temperature range. The correct version of Fig. 6 appears below as"}
+{"text": "Nature Communications8: Article number: 15933; DOI: 10.1038/ncomms15933 (2017); Published 06212017; Updated 07172017The original version of this Article contained an error in the spelling of the author Denis Gebauer, which was incorrectly given as Denis Gebaue. This has now been corrected in both the PDF and HTML versions of the Article."}
+{"text": "Scientific Reports7: Article number: 42262; 10.1038/srep42262 published online: 02102017; updated: 08292017.This article was published twice in error during a change in production systems. The publisher apologizes to the authors and readers for the error. When citing this work, please refer to the original version.1"}
+{"text": "Scientific Reports6: Article number: 39104; 10.1038/srep39104 published online: 12202016; updated: 03072017.The original version of this Article contained an error in the spelling of the author Karina Dolgilevica, which was incorrectly given as Karina Dolgevica.This error has now been corrected in the HTML and PDF versions of this Article."}
+{"text": "Scientific Reports6: Article number: 3223310.1038/srep32233; published online: 08302016; updated: 06042018A Supplementary Information file containing Appendices A and B was omitted from the original version of this Article. This has been corrected in the HTML version of the Article; the PDF version was correct at time of publication."}
+{"text": "Nature Communications8: Article number: 15875 ; DOI: 10.1038/ncomms15875 (2017); Published 06202017; Updated 12222017In Fig. 2 of the original Article, information indicating the extent of the lagged correlations between low-passed and detrended time series was inadvertently omitted during the production process. The correct version of this figure appears below as"}
+{"text": "Scientific Reports7: Article number: 3870610.1038/srep38706; published online: 01312017; updated: 03142017The Acknowledgements section in this Article was omitted. The Acknowledgements should read: \u201cThis work was supported by the National 863 Hi-tech Project (2015AA033703), National Natural Science Foundation of China and Specialized Research Fund for the Doctoral Program of Higher Education (NO. 20120071110067)\u201d."}
+{"text": "Nature Communications7: Article number: 13542; DOI: 10.1038/ncomms13542 (2016); Published: 12062016; Updated: 01052017The original version of this Article contained an error in the spelling of the author Tommaso Poggioli, which was incorrectly given as Tommaso Pogglioli. This has now been corrected in both the PDF and HTML versions of the Article."}
+{"text": "Scientific Reports7: Article number: 46314; 10.1038/srep46314 published online: 04102017; updated: 08242017.The original version of this Article contained an error in the spelling of the author Minseop Byun, which was incorrectly given as Minsueop Byun.This has now been corrected in the PDF and HTML versions of the Article."}
+{"text": "Scientific Reports6: Article number: 2899510.1038/srep28995; published online: 07142016; updated: 09022016The original version of this Article contained a typographical error in the spelling of the author Sophie Petropoulos, which was incorrectly given as Sophie Petropoulous. This has now been corrected in the PDF and HTML versions of the Article."}
+{"text": "Scientific Reports6: Article number: 3632310.1038/srep36323; published online: 11032016; updated: 04052017The original version of this Article contained errors in the spelling of the author Sharon Baumel-Alterzon, which was incorrectly given as Sharon Alterzon-Baumel. These errors have now been corrected in the PDF and HTML versions of the Article."}
+{"text": "Scientific Reports6: Article number: 2393410.1038/srep23934; published online: 03312016; updated: 12072016; updated: 11102017; updated: 03202018et al. PLoS Comp. Biol. [2014]) of this Article introduced a feature set called gapped k-mer for regulatory sequence prediction; this Article applied these gapped k-mer features to recombination spot identification, and a computational predictor was constructed for recombination spot identification.This Article reports an application of methodology originally reported in Reference 33 to recombination spot identification. Reference 33 (Ghandi, M. The original and corrected versions of the Article include ambiguous sentences and textual overlap without adequate attribution, which failed to give due credit to the authors of Reference 33. The original and corrected versions of the Article are therefore being retracted by the Editors. The authors do not agree with the retraction."}
+{"text": "Scientific Reports6: Article number: 31703; 10.1038/srep31703 published online: 08172016; updated: 11082016.The original version of this Article contained a typographical error in the spelling of the author Xiaochun Wan, which was incorrectly given as Xiachun Wan. This has now been corrected in the PDF and HTML versions of the Article."}
+{"text": "Scientific Reports6: Article number: 3786910.1038/srep37869; published online: 11292016; updated: 03162017This Article contains an error in the x-axis labelling of Figure 5. The correct Figure 5 appears below as"}
+{"text": "Scientific Reports6: Article number: 2899410.1038/srep28994; published online: 07262016; updated: 09142016The original version of this Article contained a typographical error in the spelling of the author Liang Zhao, which was incorrectly given as Liang Zhaog. This has now been corrected in the PDF and HTML versions of the Article."}
+{"text": "Scientific Reports6: Article number: 20010; 10.1038/srep20010 published online: 01292016; updated: 06302017.The original HTML version of this Article listed an incorrect volume number. This has now been corrected in the HTML version; the PDF version was correct at the time of publication."}
+{"text": "Nature Communications7: Article number: 12752 ; DOI: 10.1038/ncomms12752 (2016); Published 09152016; Updated 11142016The financial support for this Article was not fully acknowledged. The acknowledgements should have included the following:Yorgo Modis, PhD was supported by a senior research fellowship from the Wellcome Trust, grant no. 101908/Z/13/Z."}
+{"text": "Scientific Reports6: Article number: 30410; 10.1038/srep30410 published online: 07262016; updated: 12222014.In the Supplementary Information file originally published with this Article, Figures S8 and S12 were omitted.These errors have been corrected in the Supplementary Information file that now accompanies the Article."}
+{"text": "Scientific Reports6: Article number: 20136; 10.1038/srep20136 published online: 01292016; updated: 06302017.The original HTML version of this Article listed an incorrect volume number. This has now been corrected in the HTML version; the PDF version was correct at the time of publication."}
+{"text": "Nature Communications8: Article number: 15039; DOI: 10.1038/ncomms15039 (2017); Published: 04062017; Updated: 07062017The original version of the Supplementary Information attached to this Article did not contain Supplementary Figures 11\u201316 and Supplementary References. The HTML has now been updated to include a corrected version of the Supplementary Information file.Supplementary Figures and Supplementary References"}
+{"text": "Nature Communications7: Article number: 13637 ; DOI: 10.1038/ncomms13637 (2016): Published 11242016; Updated 10092017.The original version of this Article contained an error in the email address of the corresponding author George Church. The correct email is gchurch@genetics.med.harvard.edu. The error has been corrected in the HTML and PDF versions of the Article."}
+{"text": "Scientific Reports6: Article number: 2848310.1038/srep28483; published online: 06242016; updated: 09022016The original version of this Article contained an error in the spelling of the author Shuangchun Wen, which was incorrectly given as Shangchun Wen. This error has now been corrected in the PDF and HTML versions of the Article."}
+{"text": "Scientific Reports6: Article number: 2345810.1038/srep23458; published online: 03212016; updated: 01082018The original version of this Article contained a typographical error in the spelling of the author Ghaith Aljayyoussi, which was incorrectly given as Ghaith Al Jayoussi. This has now been corrected in the PDF and HTML versions of the Article."}
+{"text": "Scientific Reports7: Article number: 4634010.1038/srep46340; published online: 04192017; updated: 05262017The original version of this Article contained a typographical error in the spelling of the author Yeong Man Yu, which was incorrectly given as Yu Yeong Man. This has now been corrected in both the PDF and HTML versions of the Article."}
+{"text": "Scientific Reports6: Article number: 3530810.1038/srep35308; published online: 10182016; updated: 04102017This Article contains an error in Figure 4F of this Article. The immunoblot for GAPDH is incorrect. The correct Figure 4F appears below as"}
+{"text": "Scientific Reports6: Article number: 26756; 10.1038/srep26756 published online: 06072016; updated: 12222017.Due to a technical error during the publication of the original version of this Article, the Supplementary Tables S2 and S3 were published in incomplete forms. These errors have been corrected in the Supplementary Information that now accompanies the Article."}
+{"text": "Scientific Reports6: Article number: 3214810.1038/srep32148; published online: 08252016; updated: 03302017The original version of this Article contained a typographical error in the spelling of the author Shuijin Hu, which was incorrectly given as Shuijing Hu. This has now been corrected in the PDF and HTML versions of the Article."}
+{"text": "Scientific Reports7: Article number: 45235; 10.1038/srep45235 published online: 03222017; updated: 12222017.The original version of this Article contained an incorrect link to the Breast Cancer Integrative Platform in the Abstract.http://omics.bmi.ac.cn/bcancer/).\u201d\u201cTo facilitate the identification of potential regulatory or driver genes, we present the Breast Cancer Integrative Platform .\u201d\u201cTo facilitate the identification of potential regulatory or driver genes, we present the Breast Cancer Integrative Platform (BCIP, This has now been corrected in the PDF and HTML versions of the Article."}
+{"text": "The following funding information is missing from the Funding section: Emerson Franchini was supported by FAPESP grant number: 2015/22315-9."}
+{"text": "Scientific Reports7: Article number: 44248; 10.1038/srep44248 published online: 03162017; updated: 04062018.The original version of this Article contained an error in the indexing of the author Shaymaa Mohamed Mohamed Badawy. This error has now been corrected."}
+{"text": "Scientific Reports6: Article number: 3475210.1038/srep34752; published online: 10132016; updated: 12232016In the PDF version of this Article, affiliations 2 and 3 are reversed; the HTML version of the Article was correct at the time of publication."}
+{"text": "Scientific Reports6: Article number: 2565510.1038/srep25655; published online: 05192016; updated: 11022016This Article contains an error in Figure 3(B), where the Fermi distributions of the pumping path are incorrectly shaded black. The correct Figure 3 appears below as"}
+{"text": "Scientific Data 4:170194 doi: 10.1038/sdata.2017.194 (2017); Published: 19 December 2017; Updated: 6 March 2018In the original version of the Data Descriptor the tables were presented in the incorrect order. This has now been corrected in the HTML and PDF versions."}
+{"text": "AbstractInsecta, Lepidoptera), some of them under severe long term threats due to small sized habitats or climatic changes. In this contribution, we present the IUCN Red List profiles of 34 endemic moths to the Azorean archipelago, including species belonging to two diverse families: Noctuidae (11 species) and Crambidae (eight species). The objective of this paper is to assess all endemic Azorean moth species and advise on possible future research and conservation actions critical for the long-trem survival of the most endangered species.The few remnants of Azorean native forests harbour a unique set of endemic moths (Eupitheciaogilviata). Therefore, we suggest as future conservation actions: (1) a long-term species monitoring plan and (2) control of invasive species.Most species have a large distribution (i.e. 58% occur in at least four islands), very large extent of occurrence (EOO) and a relatively large area of occupancy (AOO). Only nine species are single-island endemics, three of them from Flores, three from S\u00e3o Miguel and one from Pico, S\u00e3o Jorge and Faial. Most of the species also experience continuing decline in habitat quality, number of locations and subpopulations caused by the ongoing threat from pasture intensification, forestry, invasive plant species and future climatic changes. The lack of new records may indicate that one of the species previously named is extinct ( Lepidoptera from the Azorean archipelago is still scarce and skewed towards the diurnal species of Rhopalocera , eight grass moths (Crambidae), three geometer moths (Geometridae), three Stathmopodidae, three ermine moths (Yponomeutidae), two snout moths or pyralid moths , one twirler moth or gelechiid moth (Gelechiidae), one leaf-miner moth (Gracillaridae), one plume moth (Pterophoridae) and one fungus moth or tineid moth (Tineidae), which represent the majority of families present in the Azores provide updated information on the distribution, abundance and ecology for the 34 Azorean endemic moths; 2) identification of the major threats involving these species; 3) the evaluation of the species conservation profiles for all known Azorean endemic moth species.Azorean Biodiversity Portal and downloaded CSV files with the distribution of each species; iv) species images were obtained from specimens deposited in Coll. ZMUC (Credit: Anders Illum) and also from the repository available at the Azorean Biodiversity Portal, the most important source of information on Azorean biodiversity. Species distributions in the Azores were obtained from the list of Azorean biota and using an approximation to the standard IUCN 2 km \u00d7 2 km cells (4 km2). Final maps with species distributions were produced using the IUCN standards with Google Earth (.kmz files).Prior to the calculation of area of occupancy (AOO) and extent of occurrence (EOO), the 500 m \u00d7 500 m cells obtained from Critical information on species threats and conservation were mostly obtained from Crambidae, which are important pollinators of the Azorean native forest and Neomarianiaoecophorella for presenting a low value of AOO. Five more species have an AOO and EOO decline, which present a low range between 1,950-8,900 km2 for EOO and 16-48 km2 for AOO. In addition to this, nine of these species have a very restricted distribution, occupying a unique island and, therefore, they have a very small EOO and AOO. Amongst the analysed taxa, it should be noted that, for five species, only one individual is known , leaving one of the two sexes totally unknown. These species have low areas of occupation and are frequently restricted to a single patch of native forest. The lack of new records may indicate that one of the species previously named is extinct (Eupitheciaogilviata). In addition, many other species are in a critical conservation situation and actions should be taken with some urgency, namely the implementation of area-based management plans for those species distribution historical sites.We evaluated that 15 endemic species have an extent of occurrence (EOO) and area of occupancy (AOO) that is stable with a range of between 6,200-62,00 kmHadenaazorica Meyer & Fibiger, 2002; Phlogophorakruegeri Saldaitis & Ivinskis, 2006; Apameasphagnicola Wagner, 2014; Apamearamonae Wagner, 2015) challenges the notion that Lepidoptera are one of the most well studied taxonomic groups of insects in the Azores and invasive species . Consequently, formal education and awareness is needed to allow future investments in habitat restoration of areas invaded by invasive plants or impacted by forestry and dairy-cow management, located mostly at mid elevations. The use of greatly magnified images (extreme macro photography) of Lepidoptera may be a successful strategy to inform the public about the ecological an aesthetical value of Azorean endemic moths (e.g. see Climate change is one of the prevailing threats across the world affecting numerous species and studies on some Azorean taxa show its negative effects, such as on Macaronesian bryophytes and Azored areas and theie.g. see (Fig. 13Concerning the most threathened Azorean moth species, a community monitoring plan is also crucial to generate data for the development of species recovery plans. Monitoring every ten years using the BALA protocol will inform about habitat quality e.g. see .DiscussionSupplementary material 1Eudoniainterlinealis mapData type: Map Google EarthEudoniainterlinealis in the Azores islands.Brief description: Distribution of File: oo_174738.kmzAnja DanielczakSupplementary material 2Eudonialuteusalis mapData type: Map Google EarthEudonialuteosalis in the Azores islands.Brief description: Distribution of File: oo_174739.kmzAnja DanielczakSupplementary material 3Eudoniamelanographa mapData type: Map Google EarthEudoniamelanographa in the Azores islands.Brief description: Distribution of File: oo_174740.kmzAnja DanielczakSupplementary material 4Scopariaaequipennalis mapData type: Map Google EarthScopariaaequipennalis in Azores islands.Brief description: Distribution of File: oo_174741.kmzAnja DanielczakSupplementary material 5Scopariacarvalhoi mapData type: Map Google EarthScopariacarvalhoi in Azores islands.Brief description: Distribution of File: oo_174742.kmzAnja DanielczakSupplementary material 6Scopariacoecimaculalis mapData type: Map Google EarthScopariacoecimaculalis in Azores islands.Brief description: Distribution of File: oo_174743.kmzAnja DanielczakSupplementary material 7Scopariasemiamplalis mapData type: Map Google EarthScopariasemiamplalis in Azores islands.Brief description: Distribution of File: oo_174744.kmzAnja DanielczakSupplementary material 8Udeaazorensis mapData type: Map Google EarthUdeaazorensis in the Azores islands.Brief description: Distribution of File: oo_174745.kmzAnja DanielczakSupplementary material 9Brachmiainfuscatella mapData type: Map Google EarthBrachmiainfuscatella in Azores islands.Brief description: Distribution File: oo_174746.kmzAnja DanielczakSupplementary material 10Cyclophoraazorensis mapData type: Map Google EarthCyclophoraazorensis in the Azores islands.Brief description: Distribution of File: oo_174747.kmzAnja DanielczakSupplementary material 11Eupitheciaogilviata mapData type: Map Google EarthEupitheciaogilviata in Faial island.Brief description: Distribution of File: oo_174748.kmzAnja DanielczakSupplementary material 12Xanthorhoeinaequata mapData type: Map Google EarthXanthorhoeinaequata in the Azores islands.Brief description: Distribution of File: oo_174749.kmzAnja DanielczakSupplementary material 13Micrurapteryxbistrigella mapData type: Map Google EarthMicrurapteryxbistrigella in Azores islands.Brief description: Distribution of File: oo_174750.kmzAnja DanielczakSupplementary material 14Apamearamonae mapData type: Map Google EarthApamearamonae in Flores island.Brief description: Distribution of File: oo_174751.kmzAnja DanielczakSupplementary material 15Apameasphagnicola mapData type: Map Google EarthApameasphagnicola in Azores islands.Brief description: Distribution of File: oo_174752.kmzAnja DanielczakSupplementary material 16Hadenaazorica mapData type: Map Google EarthHadenaazorica in S\u00e3o Jorge island.Brief description: Distribution of File: oo_174754.kmzAnja DanielczakSupplementary material 17Melanchragranti mapData type: Map Google EarthMelanchragranti in Azores islands.Brief description: Distribution of File: oo_174773.kmzAnja DanielczakSupplementary material 18Mesapameastorai mapData type: Map Google EarthMesapameastorai in Azores islands.Brief description: Distribution of File: oo_174755.kmzAnja DanielczakSupplementary material 19Noctuaatlantica mapData type: Map Google EarthNoctuaatlantica in Azores islands.Brief description: Distribution of File: oo_174756.kmzAnja DanielczakSupplementary material 20Noctuacarvalhoi mapData type: Map Google EarthNoctuacarvalhoi in Azores islands.Brief description: Distribution of File: oo_174757.kmzAnja DanielczakSupplementary material 21Phlogophoracabrali mapData type: Map Google EarthPhlogophoracabrali in Azores islands.Brief description: Distribution of File: oo_174758.kmzAnja DanielczakSupplementary material 22Phlogophorafurnasi mapData type: Map Google EarthPhlogophorafurnasi in Azores islands.Brief description: Distribution of File: oo_174759.kmzAnja DanielczakSupplementary material 23Phlogophorainterrupta mapData type: Map Google EarthPhlogophorainterrupta in Azores islands.Brief description: Distribution of File: oo_174760.kmzAnja DanielczakSupplementary material 24Phlogophorakruegeri mapData type: Map Google EarthPhlogophorakruegeri in Flores island.Brief description: Distribution of File: oo_174761.kmzAnja DanielczakSupplementary material 25Stenoptiliameyeri mapData type: Map Google EarthStenoptiliameyeri in S\u00e3o Miguel island.Brief description: Distribution of File: oo_174762.kmzAnja DanielczakSupplementary material 26Homoeosomamiguelensis mapData type: Map Google EarthHomoeosomamiguelensis in S\u00e3o Miguel island.Brief description: Distribution of File: oo_174763.kmzAnja DanielczakSupplementary material 27Homoeosomapicoensis mapData type: Map Google EarthHomoeosomapicoensis in Pico island.Brief description: Distribution of File: oo_174764.kmzAnja DanielczakSupplementary material 28Neomarianiaincertella mapData type: Map Google EarthNeomarianiaincertella in Flores island.Brief description: Distribution of File: oo_174765.kmzAnja DanielczakSupplementary material 29Neomarianiaoecophorella mapData type: Map Google EarthNeomarianiaoecophorella in Azores islands.Brief description: Distribution of File: oo_174766.kmzAnja DanielczakSupplementary material 30Neomarianiascriptella mapData type: Map Google EarthNeomarianiascriptella in Azores islands.Brief description: Distribution of File: oo_174767.kmzAnja DanielczakSupplementary material 31Eudarciaatlantica mapData type: Map Google EarthEudarciaatlantica in Azores islands.Brief description: Distribution of File: oo_174768.kmzAnja DanielczakSupplementary material 32Argyresthiaatlanticella mapData type: Map Google EarthArgyresthiaatlanticella in Azores islands.Brief description: Distribution of File: oo_174771.kmzAnja DanielczakSupplementary material 33Argyresthiaminusculella mapData type: Map Google EarthArgyresthiaminusculella in Azores islands.Brief description: Distribution of File: oo_174772.kmzAnja DanielczakSupplementary material 34Argyresthiapoecilella mapData type: Map Google EarthArgyresthiapoecilella in S\u00e3o Miguel island.Brief description: Distribution of File: oo_174769.kmzAnja Danielczak"}
+{"text": "Nature Communications7: Article number: 12992; DOI: 10.1038/ncomms12992 (2016); Published: 10052016; Updated: 11082016The original version of this Article contained an error in the spelling of the author Tin-Lap Lee, which was incorrectly given as T.P. Lee. This has now been corrected in both the PDF and HTML versions of the Article."}
+{"text": "Nature Communications7: Article number: 1219510.1038/ncomms12195 (2016); Published: 07202016; Updated: 08312016The original version of this Article contained an error in which the first affiliation was incorrectly given as \u2018CNRS, ICMCB, UPR 9048, Pessac 33600, France'. This has now been corrected in both the PDF and HTML versions of the Article."}
+{"text": "Scientific Reports6: Article number: 3642210.1038/srep36422; published online: 11102016; updated: 12092016The original version of this Article contained a typographic error in the spelling of Pranati Nayak, which was incorrectly given as Pranati Nayuk.This error has now been fixed in the HTML and PDF versions of this Article."}
+{"text": "Scientific Reports7: Article number: 42627; 10.1038/srep42627 published online: 02152017; updated: 04062018.The original PDF version of this Article contained an error in the order of corresponding authors. This has now been corrected in the PDF version of this Article; the HTML version was correct from the time of publication."}
+{"text": "Nature Communications7: Article number: 13526; DOI: 10.1038/ncomms13526 (2016); Published: 11242016; Updated: 01182017In Fig. 4c of this Article, the colour bars were inadvertently changed from graded to solid during the production process. The correct version of Fig. 4c appears below as"}
+{"text": "Scientific Reports6: Article number: 2592910.1038/srep25929; published online: 05162016; updated: 12232016In Supplementary Information published with this Article, the authors omitted Table S10, which contains information pertaining to the primers used in qRT-PCR. The correct"}
+{"text": "Nature Communications8: Article number: 14095; DOI: 10.1038/ncomms14095 (2017); Published: 01242017; Updated: 08302017.The authors inadvertently omitted Eltyeb Abdelwahid, who contributed to the generation of animal models and their initial evaluation, from the author list. This has now been corrected in both the PDF and HTML versions of the Article."}
+{"text": "Nature Communications8: Article number:15308; DOI: 10.1038/ncomms15308 (2017); Published: 05182017; Updated: 06162017The original version of this Article contained an error in the spelling of the author Zemin Zhang, which was incorrectly given as Zeming Zhang. This has now been corrected in both the PDF and HTML versions of the Article."}
+{"text": "Nature Communications7: Article number: 13867; DOI: 10.1038/ncomms13867 (2016); Published 12222016; Updated 02072017The original version of this Article contained an error in the spelling of the author Yih-Leong Chang, which was incorrectly given as Yi-Liang Chang. This has now been corrected in both the PDF and HTML versions of the Article."}
+{"text": "Scientific Reports6: Article number: 3156710.1038/srep31567; published online: 08162016; updated: 03162017In this Article, the Gene Expression Omnibus (GEO) accession number for the RNA sequencing data was incorrectly given as GSE77446. The correct accession number is GSE77466."}
+{"text": "Scientific Reports6: Article number: 3573210.1038/srep35732; published online: 10212016; updated: 11292016The original version of this Article contained typographical errors in the spelling of the author Yong Ryoul Yang which was incorrectly given as Yong Ryul Yang.These errors have now been corrected in the PDF and HTML versions of this Article."}
+{"text": "Scientific Reports6: Article number: 2092710.1038/srep20927; published online: 02182016; updated: 09232016The original version of this Article contained a typographical error in the spelling of the author E. Gazquez, which was incorrectly given as E. Gazguez. This has now been corrected in the PDF and HTML versions of the Article."}
+{"text": "Scientific Reports7: Article number: 3981010.1038/srep39810; published online: 01052017; updated: 06072017This Article contains an error in Figure 3B where the y-axis label of the scale bar is missing. The correct Figure 3 appears below as"}
+{"text": "Scientific Reports7: Article number: 44797; 10.1038/srep44797 published online: 03202017; updated: 06162017.In the HTML version of this Article, Figure 6 was incorrect. The correct Figure 6 appears below as This error has been corrected in the HTML version of the Article; the PDF version was correct at the time of publication."}
+{"text": "Nature Communications7: Article number: 12494; DOI: 10.1038/ncomms12494 (2016); Published 08122016; Updated 12062016In Fig. 7a of this article, the structure of the intermediate compound was inadvertently misdrawn during the production process. The correct version of Fig. 7 appears below as"}
+{"text": "Scientific Reports5: Article number: 1285910.1038/srep12859; published online: 08052015; updated: 03092017This Article contains an error in the order of the"}
+{"text": "Scientific Reports7: Article number: 3976410.1038/srep39764; published online: 01042017; updated: 02172017In the Supplementary Information file originally published with this Article, Supplementary Table 1 was omitted. This error has now been corrected in the Supplementary Information that now accompanies the Article."}
+{"text": "Nature Communications7: Article number: 1267210.1038/ncomms12672 (2016); Published: 08312016; Updated: 1005201621.'In the originally published version of the Article, an incorrect reference number was cited. The final sentence of the first paragraph of the Introduction section should read: \u2018The likely reasons are technical difficulties in generating atomic size electron vortex beams, together with fine control of their resulting orbital angular momentum in the case of electron vortex beams, and a low EMCD signal fraction in the case of astigmatic beams"}
+{"text": "Scientific Reports6: Article number: 2298510.1038/srep22985; published online: 03092016; updated: 01122017This Article contains a typographical error in the name of fluorescence dye for the mutant LNA probe in"}
+{"text": "Nature Communications8 Article number: 16017 ; DOI: 10.1038/ncomms16017 (2017); Published: 07062017; Updated: 08072017.The financial support for this Article was not fully acknowledged. The Acknowledgements should have included the following:This work was supported by a Nanken-Kyoten grant from Tokyo Medical and Dental University (TMDU)."}
+{"text": "Nature Communications7: Article number: 10144; DOI: 10.1038/ncomms10144 (2016); Published: 01112016; Updated: 11162017This Article contains an error in Fig. 4. Figure 4b shows the structure of the rhodamine dye Alexa488, not the Alexa555 used in this work. The structure of Alexa555 is not known."}
+{"text": "Scientific Reports7: Article number: 4657810.1038/srep46578; published online: 04132017; updated: 05262017The original version of this Article incorrectly included the following text in the Methods section:\u201cStatistical analyses on volunteers and ELISAs, BAM files and reference genomes for genome assemblies, genome fragments too short for inclusion in GenBank, BEAST inputs and outputs, TempEst inputs and outputs and pipeline Perl scripts, are available from: doi://10.17635/lancaster/researchdata/111\u201d.This now appears in a Data Availability section in the PDF and HTML versions of the Article."}
+{"text": "Nature Communications8: Article number: 14482; DOI: 10.1038/ncomms14482; published: 02172017; Updated: 03222017The original version of this Article contained a typographical error in the spelling of the author Omid Kavehei, which was incorrectly given as Omid Kevehei. This has now been corrected in both the PDF and HTML versions of the Article."}
+{"text": "Scientific Reports7: Article number: 4266610.1038/srep42666; published online: 02202017; updated: 03232017The original version of this Article contained a typographical error in the spelling of the author H. B. Zhuo, which was incorrectly given as H. B. Zhou. This has now been corrected in the PDF and HTML versions of the Article."}
+{"text": "Scientific Reports6: Article number: 20069; 10.1038/srep20069 published online: 01292016; updated: 06302017.The original HTML version of this Article listed an incorrect volume number. This has now been corrected in the HTML version; the PDF version was correct at the time of publication."}
+{"text": "Scientific Reports5: Article number: 994210.1038/srep09942; published online: 04232015; updated: 03012018The Acknowledgements section in this Article was omitted. The Acknowledgements section should read:\u201cKhashayar Khoshmanesh acknowledges the Australian Research Council for funding under the Discovery Early Career Researcher Award (DECRA) scheme (Project No. DE120101402).\u201d"}
+{"text": "Nature Communications8: Article number: 14778; DOI: 10.1038/ncomms14778 (2017); Published: 03162017; Updated: 05242017In Fig. 5 of this Article, the image in the centre column for [111] incorrectly replicates the image above. The correct version of Fig. 5 appears below as"}
+{"text": "Scientific Reports6: Article number: 2982510.1038/srep29825; published online: 07192016; updated: 09302016The original version of this Article contained a typographical error in the spelling of the author Masayasu Nagoshi, which was incorrectly given as Masayasu Yagoshi. This has now been corrected in the PDF and HTML versions of the Article."}
+{"text": "Scientific Reports6: Article number: 33784; 10.1038/srep33784 published online: 09282016; updated: 11212016.The original version of this Article contained errors in the spelling of the author Joydeep Das, which was incorrectly given as Das Joydeep.These errors have now been corrected in the PDF and HTML versions of the Article."}
+{"text": "Scientific Reports7: Article number: 4507910.1038/srep45079; published online: 03242017; updated: 05042017The original version of this Article contained a typographical error in the spelling of the author Jin-Beom Kwon, which was incorrectly given as Jin-Beon Kwon. This has now been corrected in both the PDF and HTML versions of the Article."}
+{"text": "Scientific Reports5: Article number: 1669710.1038/srep16697; published online: 11162015; updated: 09142016The original Supplementary Information file published with this Article was incorrect. This version included errors in the \u2018Calculation of Phonon Coherent Length (CL) in Si/Ge SNW and H-SNW\u2019 section and a number of typographical errors. The correct Supplementary Information file now accompanies the Article."}
+{"text": "Scientific Reports7: Article number: 3964710.1038/srep39647; published online: 01032017; updated: 03162017The SBML models provided in the original Supplementary Information files published with this Article contained formatting errors. These errors have been corrected in the Supplementary Information files that now accompany the Article."}
+{"text": "Nature Communications7: Article number: 10525; DOI: 10.1038/ncomms10525 (2016); Published: 01222016; Updated: 11172016The authors wish to add \u2018Mads H. Ribergaard' and \u2018John Mortensen' to the author list of this Article for the provision of oceanographic data. This has now been updated in both the PDF and HTML versions of the Article."}
+{"text": "Scientific Reports7: Article number: 4127510.1038/srep41275; published online: 01302017; updated: 04052017In the original version of this Article, Affiliation 1 was incomplete. The correct affiliation is listed below.Institute of Geographic Sciences and Natural Resources Research, Chinese Academy of Sciences, Beijing 100101, China.These errors have been corrected in both the HTML and PDF versions of the Article."}
+{"text": "Scientific Reports6: Article number: 2650810.1038/srep26508; published online: 05242016; updated: 09212016This Article contains discrepancies between the HTML and PDF versions of Figures 14 and 15. The correct Figures 14 and 15, with their accompanying legends appear below as"}
+{"text": "Scientific Reports6: Article number: 3277710.1038/srep32777; published online: 09082016; updated: 11102016.The original version of this Article contained a typographical error in the spelling of the author Sebastien Magnifico, which was incorrectly given as Sebastien Magifico. This has now been corrected in the PDF and HTML versions of the Article."}
+{"text": "Scientific Reports6: Article number: 3684110.1038/srep36841; published online: 11142016; updated: 01032017The original version of this Article contained an error in the name of the first author Mark Zeller which was incorrectly given as Jelle Matthijnssens. This error has now been corrected in the PDF and HTML versions of this Article."}
+{"text": "In the Funding section, the grant number from the funder Medical Research Council (MRC) is listed incorrectly. The correct grant number is: MC_UU_12014/5."}
+{"text": "Nature Communications8: Article number:15533 ; DOI: 10.1038/ncomms15533 (2017); Published 06052017; Updated 07042017The original version of this Article contained an error in the formatting of the author name Yang Shu, which was incorrectly given as Shu Yang. This has now been corrected in both the PDF and HTML versions of the Article."}
+{"text": "Scientific Reports6: Article number: 3186610.1038/srep31866; published online: 08182016; updated: 09212016The original version of this Article contained a typographical error in the spelling of the author Gholamreza Asadikaram, which was incorrectly given as Golamreza Asadikaram. This has now been corrected in the PDF and HTML versions of the Article."}
+{"text": "Nature Communications7: Article number: 11928 10.1038/ncomms11928 (2016); Published: 060162016; Updated: 09022016An incorrect version of the Supplementary Information was inadvertently published with this Article that contained errors in Supplementary Equations 18 and 19. The HTML has now been updated to include the correct version of the Supplementary Information."}
+{"text": "Scientific Reports7: Article number: 4287410.1038/srep42874; published online: 02232017; updated: 04052017The original version of this Article contained a typographical error in the spelling of the author Tony D. James, which was incorrectly given as Tony James. This has now been corrected in the PDF and HTML versions of the Article."}
+{"text": "Scientific Reports6: Article number: 37686; 10.1038/srep37686 published online: 11252016; updated: 05032017.In the Supplementary Information file originally published with this Article, Figure S3 was elongated and of poor quality. This error has been corrected in the Supplementary Information that now accompanies the Article."}
+{"text": "Nature Communications7: Article number: 13660; DOI: 10.1038/ncomms13660 (2016); Published: 12162016; Updated: 02092017This Article was originally published with an incorrect publication date. The paper was due to be published on 3 Jan 2017, but due to an error was published earlier on the 16 Dec 2016. The publication date in both the PDF and HTML versions of the paper has been updated to reflect this."}
+{"text": "Grants: R01AR045992 (MSM), R01AR062189 (MSM), R01AR052771 (MSM).The following information is missing from the Funding section: This study was funded through grants obtained from: National Institutes of Arthritis, Musculoskeletal and Skin Diseases (The publisher apologizes for the error."}
+{"text": "The grand challenge currently facing metabolomics is the expansion of the coverage of the metabolome from a minor percentage of the metabolic complement of the cell toward the level of coverage afforded by other post-genomic technologies such as transcriptomics and proteomics. In plants, this problem is exacerbated by the sheer diversity of chemicals that constitute the metabolome, with the number of metabolites in the plant kingdom generally considered to be in excess of 200 000. In this review, we focus on web resources that can be exploited in order to improve analyte and ultimately metabolite identification and quantification. There is a wide range of available software that not only aids in this but also in the related area of peak alignment; however, for the uninitiated, choosing which program to use is a daunting task. For this reason, we provide an overview of the pros and cons of the software as well as comments regarding the level of programing skills required to effectively exploit their basic functions. In addition, the torrent of available genome and transcriptome sequences that followed the advent of next-generation sequencing has opened up further valuable resources for metabolite identification. All things considered, we posit that only via a continued communal sharing of information such as that deposited in the databases described within the article are we likely to be able to make significant headway toward improving our coverage of the plant metabolome. Arabidopsis thaliana forVisualization tools provide a simple means of representing and mapping metabolic changes in tools like PATHOS , PathWhiFew tools try to actually use mass spectra features to build the networks, which can also improve annotation of unknown compounds. MetaNetter uses rawIt must be clear from previous sections that mass spectrometry\u2013based metabolomics, particularly metabolite annotation and data interpretation, relies heavily upon data from characterized mass spectra, molecular properties of analytes, and metabolic pathways. While all the different techniques offer a lot of flexibility, metabolomics struggles with standardization, and a great volume of metadata when compared with other omics techniques and still lags behind most of them in terms of public repositories of published data. Nonetheless, there is a wealth of databases with useful information for mass spectrometry\u2013based plant metabolomics, and we try to summarize some of the most relevant and the structure and functionalities of the resources available.Chemspider , PubChemThere are a few plant-specific databases with curated information on chemical composition and distribution across different plant species as well, namely KNApSAcK , with inDatabases that provide mass spectra of pure compounds under controlled conditions developed to allow searching for common spectra features for the identification of unknown compounds are an essential resource for MS-based identification of metabolites. As previously mentioned, the great stability and reproducibility of GC-MS generates reliable fragmentation patterns and relative retention indexes that are very efficient for metabolite annotation by spectra matching. NIST is a very popular commercial library for GC-MS annotation that also provide free access to some data through NIST Chem WebBook , contain++. Metabolite Link (METLIN) [in silico MS/MS data. Additionally, over 14 000 metabolites were analyzed, and mass spectra at multiple collision energies in positive and negative ionization mode obtained. METLIN also integrates isoMETLIN [in silico libraries from different sources. The search is limited to name, compound class, molecular formula, or exact mass of the metabolite. It can be filtered by type of spectra, and the results are presented as a single list of individual interactive spectra next to the metadata, making it easy to navigate through different spectra. The great diversity of phytochemicals observed in plants represents an important portion of all these numbers, and a few plant-specific databases are available, such as Spektraris [One of the greatest efforts in the field of metabolomics has been directed to the development of databases of mass spectra obtained from LC-MS analysis. The higher flexibility of this technique compared to GC-MS in terms of the chemical space that it can analyze comes with the drawback of a high sensitivity to multiple factors that can influence mass spectra quality and reproducibility. LC-MS databases are usually characterized by the greatest volume of metadata that accompany the analytical data and a more complex structure for search based on spectra features when compared to GC-MS databases. Some large general LC-MS databases include MassBank , a publi(METLIN) currentlsoMETLIN , which asoMETLIN is a datsoMETLIN . FinallysoMETLIN is intenektraris , an LC-Mektraris is a verektraris is a colektraris , a metabA very common issue encountered in data from mass spectrometry is the presence of a variety of contaminants from sample preparation and analysis that can be challenging for data interpretation. Mass Spectrometry Contaminant Database (MaConDa) providesSolanum lycopersicum with information on annotated metabolites where the user can search for specific masses or a range of masses. The database is based on accurate mass, and the user therefore does not have access to raw data and chromatograms. Nicotiana attenuata Data Hub (NaDH) [Nicotiana attenuata including LC-MS data on 14 different tissues, allows searching for spectra based on name and m/z and provides some interesting tools for data interpretation that are easily accessible directly from the metabolite entry, including metabolite-metabolite and metabolite-gene coexpression analysis and visualization of metabolite expression across different tissues in a bar chart or eFP browser interface. Optimas-DW software [Compound spectra databases are essential for identification of metabolites by mass spectrometry, but a significant effort has also been directed toward the development of repositories of experimental data on specific samples to facilitate dereplication studies and data analysis. These databases are often restricted to specific species, as is the case for AtMetExpress , an LC-Mb (NaDH) , a platfsoftware is a datsoftware , a metabsoftware , currentsoftware is an MSsoftware is a datsoftware and currsoftware , a repossoftware is a larsoftware is a repsoftware is a crosoftware is a datsoftware , a plantReactome.org and 44 metabolic models in a standardized description of metabolites and reactions where all metabolites have matched synonyms, resolved protonation states, and are linked to unique structures, and all reactions are balanced.As previously mentioned, many resources that are particularly useful for data interpretation organize the data in pathways based on literature data, and often also provide tools for data visualization and interpretation. Many of these databases contain either generic pathways or combine different organisms. One example is KEGG , which iin silico databases that are extremely useful for de novo metabolite identification, such as Metabolic In Silico Network Expansion Databases (MINE) [In Silico MS/MS Database (ISDB) [in silico database of natural products generated using CFM-ID [Together with the development of many prediction tools previously mentioned, we watched in the last years the development of some interesting s (MINE) , a databs (MINE) , a databe (ISDB) , an in sg CFM-ID with inpThe complexity of metabolomics data experiments, particularly in terms of sample number and metadata, pushed the development of many tools for experiment and metadata management, and while many of these functions are integrated in some of the databases previously discussed, there are a few specialized tools such as QTREDS and MASTThe enormous amount of data available for metabolomics raises many questions regarding how to easily access and unify all this data, taking into account the vast chemical space explored in these experiments. Many tools have been developed with the purpose of facilitating access to chemical data spread in the literature, from the development of identifiers to reduce duplication of information such as Spectral Hash , designeDifferent vendors usually export their data in proprietary formats, which complicates data transfer across different platforms. Most proprietary software packages are able to convert files to .cdf format, but some tools, the most popular being msConverter from Proteowizard , can han++ [All equipment for mass spectrometry comes with its own software for data visualization and some basic analysis, but those are usually not designed to deal with the complexities of metabolomics datasets. There are some interesting open source alternatives such as BatMass and Mass++ for data++ , which p++ , capableMass spectrometry imaging is a relatively young technique that has being growing fast in importance, providing high-resolution special distribution of small molecules in molecular histology . Few tooin silico generated lipids databases LipidHome [Lipidomics data require a very specialized pipeline, and therefore many tools were developed exclusively for this kind of analysis; however, we will only briefly summarize these here. Analysis of Lipid Experiments (ALEX) , MultiplipidHome , SwissLiipidHome ,and ARAipidHome .Many of the resources presented here were fruit of the efforts of setting the theoretical background for each step in the data processing and analysis workflow. However, more recent efforts are moving toward the development of integrated tools, which are often developed by the integration of already well-established tools into a single pipeline in an attempt to accelerate the process and in a few cases providing an easier interface. XCMS online, for example, is a web platform providing most of the function from XCMS with additional capabilities for interactive exploratory data visualization and analysis in a much easier interface than the original software . HayStacIt is clear from this review the infinity of choices for performing a variety of functions and the fast pace by which they change and get outdated; hence it is an arduous task to keep updated on all of them. Some research groups, engaged in the development of metabolomics tools, have their own repositories like KOMICS , MetaOpeAdditional file 1.xls: summary of resources for mass spectrometry\u2013based metabolomics.In Silico MS/MS Database; KaPPA\u2013view: Kazusa Plant Pathway Viewer; KEGG: Kyoto Encyclopedia of Genes and Genomes; KMMDA: Kernel Machine Approach for Differential Expression Analysis of Mass Spectrometry\u2013Based Metabolomics Data; Komic Market: Kazusa Omics Data Market; kpath: Khaos Metabolic Pathways; LC: liquid chromatography; LDA: latent Dirichlet\u00a0allocation; LDA: lipid data analyzer; LIMS: Laboratory Information Management System; LIMSA: Lipid Mass Spectrum Analysis; LOBSTAHS: Lipid and Oxylipin Biomarker Screening Through Adduct Hierarchy Sequences; m/z: mass-to-charge ratio; MaConDa: Mass Spectrometry Contaminant Database; MAGMa: MS Annotation Based on In Silico Generated Metabolites; MAIT: Metabolite Automatic Identification Toolkit; MarVis-Suite: Marker Visualization Suite; MathDAMP: Mathematica Package for Differential Analysis of Metabolite Profiles; MAVEN: Metabolomic Analysis and Visualization Engine; MeKO: Metabolite Profiling Database for Knock-Out Mutants in Arabidopsis; MetCCS: Metabolite Collision Cross-Section Predictor; MET-COFEA: Metabolite Compound Feature Extraction and Annotation; MET-COFEI: Metabolite Compound Feature Extraction and Identification; MET-IDEA: Metabolomics Ion-Based Data Extraction Algorithm; METLIN: Metabolite Link; MetNetDB: Metabolic Network Exchange Database; MFSearcher: Molecular Formula Searcher; MIA: Mass Isotopolome Analyzer; MID: mass isotopomer distributions; MINE: Metabolic In Silico Network Expansion Databases; MI-Pack: Metabolite Identification Package; MMCD: Madison Metabolomics Consortium Database; MMSAT: Metabolite Mass Spectrometry Analysis Tool; MoNA: MassBank of North America; MPA-RF: Model Population Analysis\u2013Random Forests; MPEA: Metabolite Pathway Enrichment Analysis; MPMR: Medicinal Plant Metabolomic Resources; MRM: multiple reaction monitoring; MRM-DIFF: Multiple Reaction Monitoring\u2013Based Differential Analysis; MRMPROBS: Multiple Reaction Monitoring\u2013Based Probabilistic System; MS: mass spectrometry; MS/MS: tandem mass spectrometry; MS2T: MS/MS spectral tag; MS-DIAL: Mass Spectrometry\u2013Data Independent Analysis; MSFACT: Metabolomics Spectral Formatting, Alignment, and Conversion Tool; MUSCLE: Multi-Platform Unbiased Optimization of Spectrometry via Closed-Loop Experimentation; NaDH: Nicotiana attenuata Data Hub; NIST: National Institute of Standards and Technology; OpenMSI: Open Mass Spectrometry Imaging; PCA: principal component analysis; PlantMAT: Plant Metabolite Annotation Toolbox; PLS-DA: partial least squares discriminant analysis; PMR: Plant/Eukaryotic and Microbial Systems Resource; PRIMe: Platform for RIKEN Metabolomics; RAMSY: Ratio Analysis of Mass Spectrometry; ReSpect: RIKEN MSn Spectral Database for Phytochemicals; SDBS: Spectral Database for Organic Compounds; SIRIUS: Sum Formula Identification by Ranking Isotope Patterns Using Mass Spectrometry; SMART: Statistical Metabolomics Analysis\u2013An R Tool; SoyMetDB: Soybean Metabolome Database; SPICA: Selective Paired Ion Contrast; SPLASH: Spectral Hash; T3DB: Toxin and Toxin Target Database; UNPD: Universal Natural Product Database; VaLID: Visualization and Phospholipid Identification; VANTED: Visualization and Analysis of Networks Containing Experimental Data; yamss: Yet Another Mass Spectrometry Software.ADAP: Automated Data Analysis Pipeline for Untargeted Metabolomics; AIST: National Institute of Advanced Industrial Science and Technology; ALEX: Analysis of Lipid Experiments; AMDIS: Automated Mass Spectral Deconvolution And Identification System; ANOVA: analysis of variance; apLCMS: Adaptive Processing of High-Resolution LC-MS data; ARALIP: Arabidopsis acyl-lipid metabolism; ASCII: American Standard Code for Information Interchange; BKM-react: BRENDA-KEGG-MetaCyc reactions; BNICE: Biochemical Network Integrated Computational Explorer; CAMERA: Collection of Algorithms for Metabolite Profile Annotation; CDF: common data format; CFM-ID: Competitive Fragmentation Modeling for Metabolite Identification; ChEBI: Chemical Entities of Biological Interest; CID: collision-induced dissociation; cosmiq: combining single masses into quantities; COVAIN: Covariance Inverse; CRAN: Comprehensive R Archive Network; CSI: FingerID: compound structure identification: FingerID; CTS: Chemical Translation Service; DIA: data-independent acquisition; EIC: extracted ion chromatogram; EssOilDB: Essential Oil Database; EXIMS: Exploring Imaging Mass Spectrometry Data; FT: Fourier transform; FunRich: Functional Enrichment Analysis Tool; GC: gas chromatography; GNPS: Global Natural Products Social Molecular Networking; GUI: graphical user interface; HCS: hierarchical cluster analysis; HMDB: Human Metabolome Database; HRMS: high-resolution mass spectrometry; ICT: Isotope Correction Toolbox; IIS: Integrated Interactome System; iMet-Q: Intelligent Metabolomic Quantitation; IMPaLA: Integrated Molecular Pathway Level Analysis; InCroMAP: Integrated Analysis of Cross-Platform Microarray and Pathway Data; IOKR: Input Output Kernel Regression; iPATH: Interactive Pathways Explorer; IPO: Isotopologue Parameter Optimization; ISDB: GIGA-D-17-00039_Original_Submission.pdfClick here for additional data file.GIGA-D-17-00039_Revision-1.pdfClick here for additional data file.GIGA-D-17-00039_Revision-2.pdfClick here for additional data file.Response_to_Reviewer_Comments_Original-Submission.pdfClick here for additional data file.Reviewer_1_Report_.pdfClick here for additional data file.Reviewer_1_Report_(Revision-1).pdfClick here for additional data file.Reviewer_2_Report_.pdfClick here for additional data file.Additional FileClick here for additional data file."}
+{"text": "Scientific Reports6: Article number: 20054; 10.1038/srep20054 published online: 01292016; updated: 06302017.The original HTML version of this Article listed an incorrect volume number. This has now been corrected in the HTML version; the PDF version was correct at the time of publication."}
+{"text": "Nature Communications8: Article number: 14290; DOI: 10.1038/ncomms14290 (2017); Published: 01302017; Updated: 02202017The original version of this Article contained an error in the spelling of the author Rossella Marullo, which was incorrectly given as Rosella Marullo. This has now been corrected in both the PDF and HTML versions of the Article."}
+{"text": "Nature Communications8: Article number: 14350; DOI: 10.1038/ncomms14350 (2017); Published: 02082017; Updated: 05252017The original version of this Article contained a typographical error in the first sentence of the abstract in which \u2018Shockley-Queisser' was incorrectly given as \u2018Schottky-Queisser'. This has now been corrected in both the PDF and HTML versions of the Article."}
+{"text": "Scientific Reports7: Article number: 44277; 10.1038/srep44277 published online: 03102017; updated: 04062017.The Acknowledgements section in this Article is incomplete.The investigation of novel molecular mechanisms of antidepressants at cellular level\u201d.\u201cNeuroNova gGmbH, Munich provided financial support between 2011 and 2016 aiming at should read:The investigation of novel molecular mechanisms of antidepressants at cellular level. C.B. and L.M. thank the excellence clusters Nanosystems Initiative Munich (NIM) and the Center for Integrated Protein Science Munich (CIPSM) as well as the Center for Nanoscience Munich (CeNS)\u201d.\u201cNeuroNova gGmbH, Munich provided financial support between 2011 and 2016 aiming at"}
+{"text": "Scientific Reports5: Article number: 1701410.1038/srep17014; published online: 11232015; updated: 12192016Supplementary Dataset S1 was omitted from the original version of this Article. This error has now been corrected."}
+{"text": "Scientific Reports6: Article number: 20067; 10.1038/srep20067 published online: 01292016; updated: 06302017.The original HTML version of this Article listed an incorrect volume number. This has now been corrected in the HTML version; the PDF version was correct at the time of publication."}
+{"text": "Scientific Reports6: Article number: 3247310.1038/srep32473; published online: 08312016; updated: 09262016.The original version of this Article contained a typographical error in the spelling of the author Mafalda Lopes da Silva which was incorrectly given as Silva Mafalda Lopes da. This has now been corrected in the PDF and HTML versions of the Article."}
+{"text": "Scientific Reports6: Article number: 33706; 10.1038/srep33706 published online 09202016; updated: 10102016.The original version of this Article contained a typographical error in the spelling of the author Huafang Wan, which was incorrectly given as Huafan Wan. This has now been corrected in the PDF and HTML versions of the Article."}
+{"text": "The following information is missing from the funding section: This study was supported by CNPq, Brazil, grant # 308216/2014-8 to CLVL."}
+{"text": "There are errors in the Funding section. The correct funding information is as follows: This study was partially supported by a Grant-in-Aid from the Ministry of Education, Science, Sports, Culture and Technology, Japan, and partially supported by the National Natural Science Foundation of China (81460118-Dr. Shuohua Zhang). Dr. Al Shaimaa Hasan is supported by the joint supervision mission scholarship from the Ministry of Higher Education, Egypt. The funders played no role in the study design, data collection and analysis, decision to publish, or preparation of the manuscript.There is a sentence missing after the fourth sentence of the third paragraph of the Introduction. The sentence should read: Furthermore, it has been recently demonstrated that CDCs limit acute injury by polarizing an effector macrophage population within the heart.A reference is omitted from the fourth sentence of the third paragraph of the Introduction, the second sentence of the fourth paragraph of the Introduction, and the second sentence of the third paragraph of the Discussion.10.1172/JCI81321.The reference is: de Couto G, Liu W, Tseliou E, Sun B, Makkar N, Kanazawa H, Arditi M, Marb\u00e1n E. Macrophages mediate cardioprotective cellular postconditioning in acute myocardial infarction. J Clin Invest. 2015;125:3147\u201362. doi: The fourth sentence of the third paragraph of the Introduction should read: Furthermore, it has been recently demonstrated that CDCs limit acute injury by polarizing an effector macrophage population within the heart .The second sentence of the fourth paragraph of the Introduction should read: Similar to previous study , results showed that CDCs-conditioned medium significantly promotes the macrophages to shift into a regulatory (M2) phenotype.The second sentence of the third paragraph of the Discussion should read: The immunomodulation property of MSCs has been demonstrated by previous studies, and a recent study has already demonstrated the potential role of CDCs for polarizing macrophages [18\u201321] .There are errors in the Author Contributions. The correct contributions are: Conceptualization: AH MAR SZ TL. Data curation: AH TL. Formal analysis: AH LL CY TZ YU SG MAR SMSZ TL. Funding acquisition: SZ TL. Investigation: AH LL CY TZ YU SG MAR SMSZ TL. Methodology: AH MAR SZ TL. Project administration: TL. Resources: AH LL CY TZ YU SG SZ TL. Software: LL CY YU SG. Supervision: TL. Validation: MAR SZ TL. Visualization: AH LL CY TZ YU SG MAR SMSZ TL. Writing\u2013original draft: AH TL. Writing\u2013review& editing: AH TL."}
+{"text": "Scientific Reports6: Article number: 1790810.1038/srep17908; published online: 01192016; updated: 11112016The Supplementary Information file originally published with this Article omitted the PDB codes in Table S1. This error has now been corrected in the Supplementary Information file that accompanies the Article."}
+{"text": "Nature Communications7: Article number: 13330 ; DOI: 10.1038/ncomms13330 (2016); Published 11022016; Updated 10092017.The original version of this Article contained an error in the email address of thecorresponding author George Church. The correct email isgchurch@genetics.med.harvard.edu. The error has been corrected in the HTML andPDF versions of the Article."}
+{"text": "Scientific Reports6: Article number: 3249810.1038/srep32498; published online: 09012016; updated: 10242015The original version of this Article contained a typographical error in the spelling of the author Maryam Alaayedi, which was incorrectly given as Maryam Alayedi. This error has now been corrected in the PDF and HTML versions of the Article."}
+{"text": "Scientific Reports6: Article number: 3082810.1038/srep30828; published online: 08262016; updated: 05022017In the original version of this Article, the author list for the \u201cTEDDY Study Group\u201d was incomplete.This has now been corrected in the PDF and HTML versions of this Article."}
+{"text": "Scientific Reports6: Article number: 24105; 10.1038/srep24105 published online: 04072016; updated: 04052018.This article contains an error in Figure 2, where the same image was inadvertently shown in both panel (a) and (b). The correct"}
+{"text": "Nature Communications8: Article number: 14024; DOI: 10.1038/ncomms14024 (2017); Published: 01192017; Updated: 03012017The present address for U. Sassi is incorrect in this Article. This author does not have a present address. The correct full affiliation details for this author are given below:Cambridge Graphene Centre, University of Cambridge, Cambridge CB3 0FA, UK."}
+{"text": "Scientific Reports6: Article number: 35990; 10.1038/srep35990 published online: 10262016; updated: 12062016.The original version of this Article contained errors in the spelling of the author Md Sainur Samad, which was incorrectly given as M.d. Sainur Samad.These errors have now been corrected in the PDF and HTML versions of the Article."}
+{"text": "Poorly understood but highly diverse microbial communities exist within anoxic and oxygen-depleted marine sediments. These communities often harbour single-celled eukaryotes that form symbiotic associations with different prokaryotes. During low tides in South-western British Columbia, Canada, vast areas of marine sand become exposed, forming tidal pools. Oxygen-depleted sediments within these pools are distinctively black at only 2-3 cm depth; these layers contain a rich variety of microorganisms, many of which are undescribed. We discovered and characterized a novel (uncultivated) lineage of heterotrophic euglenozoan within these environments using light microscopy, scanning and transmission electron microscopy, serial sectioning and ultrastructural reconstruction, and molecular phylogenetic analyses of small subunit rDNA sequences.Bihospites bacati n. gen. et sp. is a biflagellated microbial eukaryote that lives within low-oxygen intertidal sands and dies within a few hours of exposure to atmospheric oxygen. The cells are enveloped by two different prokaryotic episymbionts: (1) rod-shaped bacteria and (2) longitudinal strings of spherical bacteria, capable of ejecting an internal, tightly wound thread. Ultrastructural data showed that B. bacati possesses all of the euglenozoan synapomorphies. Moreover, phylogenetic analyses of SSU rDNA sequences demonstrated that B. bacati groups strongly with the Symbiontida: a newly established subclade within the Euglenozoa that includes Calkinsia aureus and other unidentified organisms living in low-oxygen sediments. B. bacati also possessed novel features, such as a compact C-shaped rod apparatus encircling the nucleus, a cytostomal funnel and a distinctive cell surface organization reminiscent of the pellicle strips in phagotrophic euglenids.B. bacati n. gen. et sp. Molecular phylogenetic analyses demonstrated that this species belongs to the Euglenozoa and currently branches as the earliest diverging member of the Symbiontida. This is concordant with ultrastructural features of B. bacati that are intermediate between C. aureus and phagotrophic euglenids, indicating that the most recent ancestor of the Symbiontida descended from phagotrophic euglenids. Additionally, the extrusive episymbionts in B. bacati are strikingly similar to so-called \"epixenosomes\", prokaryotes previously described in a ciliate species and identified as members of the Verrucomicrobia. These parallel symbioses increase the comparative context for understanding the origin(s) of extrusive organelles in eukaryotes and underscores how little we know about the symbiotic communities of marine benthic environments.We characterized the ultrastructure and molecular phylogenetic position of Euglena and Phacus), but the majority of the species are heterotrophic (osmotrophs or phagotrophs). Photosynthetic euglenids evolved from phagotrophic ancestors with a complex feeding apparatus and a large number of pellicle strips that facilitate a characteristic peristaltic cell movement called \"euglenoid movement\". This combination of characters allows phagotrophic euglenids to engulf large prey cells, such as eukaryotic algae, which eventually led to the acquisition of chloroplasts via secondary endosymbiosis .Both resin-embedded cells used for TEM and cells on gold sputter-coated SEM stubs have been deposited in the Beaty Biodiversity Research Centre (Marine Invertebrate Collection) at the University of British Columbia, Vancouver, Canada.Figs Tidal sand-flat at Centennial Beach, Vancouver, British Columbia, Canada .Marine sand, black layer 2-3 cm deep.bacati, ornamented with pearls. The etymology for the specific epithet reflects the presence of distinct longitudinal rows of spherical-shaped episymbionts, reminiscent of pearl necklaces.Specific epithet, Latin LSID for article: urn:lsid:zoobank.org:pub:40211D82-B95C-494A-B8D0-7E061E80DD18Bihospites: urn:lsid:zoobank.org:act:794D6C7B-BFB1-45C7-8DDA-32D44F3B0E50LSID for the genus B. bacati: urn:lsid:zoobank.org:act:E1549565-5434-4F85-B936-7D0C485596B8LSID for the species ar: accessory rod; CGS: congregated globule structure; Cyt: cytostome; Db: dorsal basal body; Db': dorsal pro-basal body; Df: dorsal flagellum; DL: dorsal lamina; DMt: dorsal microtubules; DR: dorsal root; E: extrusome; epi: epixenosome; ER: endoplasmic reticulum; FP: flagellar pocket; IR: intermediate root; LM: light microscope; MtD: mitochondrion-derived organelle; N: nucleus; Nu: nucleolus; PR: paraxial rod; r: rod; S: strips; SF: striated fibre; SEM: scanning electron microscope; TEM: transmission electron microscope; tz: transition zone; Vb: ventral basal body; Vb': ventral pro-basal-body; Vf: ventral flagellum; VL: ventral lamina; VR: ventral root; vt: vestibulum.SAB collected the sediment samples from Boundary Bay; generated the LM, SEM, and SSU rDNA sequence data; and wrote the first draft of the paper. NY generated the TEM data and helped with the phylogenetic analyses and interpretation of the TEM data. MH carried out the sampling, identification and LM work of the German material and helped with the identification of the Canadian material. BSL funded and supervised the collection and interpretation of the ultrastructural and molecular phylogenetic data and contributed to writing the paper. All authors have read, edited and approved the final manuscript."}
+{"text": "Dr. Luis D. Giavedoni was not included in the author byline. He should be listed as the sixth author and affiliated with Department of Virology and Immunology and Southwest National Primate Research Center, Southwest Foundation for Biomedical Research, San Antonio, Texas, United States of America.The author contributions should also be amended to the following: Conceived and designed the experiments: TRK JBB RDH JP PD. Performed the Experiments: RDH JC JP AC CT AC TRK LDG. Analyzed the data: RDH JC TRK AC LDG CT AC JBB PD. Contributed reagents/materials/ analysis tools: AC TRK JBB. Wrote the paper: JC JBB PD."}
+{"text": "Escherichia coli (E. coli). To gain an insight into the genes and pathways involved in hepatic APR of dairy cows we performed a global gene expression analysis of liver tissue sampled at different time points before and after intra-mammary (IM) exposure to E. coli lipopolysaccharide (LPS) treatment.Liver plays a profound role in the acute phase response (APR) observed in the early phase of acute bovine mastitis caused by Approximately 20% target transcripts were differentially expressed and eight co-expression clusters were identified. Each cluster had a unique time-dependent expression profile and consisted of genes involved in different biological processes. Our findings suggest that APR in the liver is triggered by the activation of signaling pathways that are involved with common and hepatic-specific transcription factors and pro-inflammatory cytokines. These mediators in turn stimulated or repressed the expression of genes encoding acute phase proteins (APP), collectins, complement components, chemokines, cell adhesion molecules and key metabolic enzymes during the APR. Hormones, anti-inflammatory and other hypothalamus-pituitary-adrenal axis (HPAA) linked mediators also seemed to participate in APR.E. coli mastitis, and that the bovine hepatic APR follows the same pattern as other mammals when they are challenged with LPS. Our work presents the first insight into the dynamic changes in gene expression in the liver that influences the induction, kinetics and clinical outcome of the APR in dairy cows.Performing global gene expression analysis on liver tissue from IM LPS treated cows verified that the liver plays a major role in the APR of Escherichia coli (E. coli) is a common disease in lactating dairy cows. During infection, lipopolysaccharide (LPS) released from the cell wall of E. coli rapidly induces a sophisticated inflammatory response. Locally it is characterized by recruiting leukocytes especially neutrophils to the injured mammary tissue, as well as activation of macrophages in the mammary gland to produce pro-inflammatory cytokines (the probe set is Bt.21216.1.S1_at), were significant.Differential expression of individual genes was assessed using linear modeling and empirical Bayes methods as impleTo identify co-expression clusters, the 4610 DE transcripts were ordered by the hierarchical clustering. Centered Pearson correlation method was used as the distance measure. The optimum cluster number was determined using the ratio of the sums of squares between and within cluster see Fig.There are 1789 UniGenes possessing Gene Ontology (GO) among all DE transcripts in contrast to 6843 UniGenes from the whole array. Within each co-expression cluster, overrepresentation of gene sets defined by the Biological Process (BP) of GO was tested using Fisher's exact test.E. coli: Escherichia coli; EGF: epidermal growth factor; GCRMA: GeneChip robust multi-array analysis; GH: growth factor; GO: gene ontology; HPAA: hypothalamus-pituitary-adrenal axis; IM: intra-mammary; i.p.: intraperitoneal; IU: international units; i.v.: intravenous; LIMMA: linear models for microarray analysis; LPS: lipopolysaccharide; MAS: microarray suite; MCP: monocyte chemotactic protein; MIP: macrophage inflammatory protein; NAP: neutrophil-activating protein; PG: prostaglandin; PRL: prolactin; PRLR: prolactin receptor; Q-PCR: quantitative polymerase chain reaction; RMA: robust multi-array analysis; SCC: somatic cell countAMPK: adenosine monophosphate-activated protein kinase; APP: acute phase proteins; APR: acute phase response; ATP: adenosine 5'-triphosphate; BP: biological process; CAM: cell-adhesion molecules; CC: complement components; cRNA: complementary ribonucleic acid; DE: differentially expressed; LJ and PS analyzed the microarray data and drafted the manuscript. CR carried out the animal challenge, KLI performed the liver biopsy and LV performed the Q-PCR. PS, CR and KLI designed the experimental plan. LJ, PS, CR and KLI contributed to the interpretation of results and iterative refinement of the manuscript. LJ is responsible for depositing microarray data in NCBI GEO. LJ and PS contributed equally to this work."}
+{"text": "The Author Contributions are incorrect. They should read as follows: Conceived and designed the experiments: GA. Performed the experiments: AAM GA. Analyzed the data: AAM GA. Wrote the paper: GA GB."}
+{"text": "The Author Corrections are incomplete. The full Author Contributions are: Conceived of the study: CL BD. Performed the numerics: CL. Wrote the paper: CL BD."}
+{"text": "However, in order to fully utilize the scale-independent properties of CGR, it should be accessible through scale-independent user interface instead of static images. Here we describe a web server and Perl library for generating zoomable CGR images utilizing Google Maps API, which is also easily searchable for specific motifs. The web server is freely accessible at Moreover, other web-pages or web-database sites can utilize our service to add CGR and website .CGR: Chaos Game Representation; FCGR: Frequency matrices extracted from CGR; G-language GAE: G-language Genome Analysis Environment; IFS: Iterated Function System; REST: Representational State Transfer; ZUI: Zoomable User Interface.The authors declare that they have no competing interests.KA designed and developed the software, and drafted the manuscript. KO participated in the implementation of the software. MT supervised the project. All authors have read and approved the final manuscript."}
+{"text": "There were errors in the Author Contributions. The correct contributions are: Conceived and designed the experiments: GH DRS. Performed the experiments: GH SY NS KJD TS. Analyzed the data: GH DRS. Wrote the paper: GH DRS. Made the figures: GH KJD."}
+{"text": "Correction to: British Journal of Cancer (2006) 94, 1351. doi:10.1038/sj.bjc.6603068Owing to an author error, the title of the above letter was incorrect. The title should be:\u2018Mobile phone use and risk of acoustic neuroma: results of the Interphone case\u2013control study in five North European countries\u2019."}
+{"text": "Daphnia magna (Crustacea:Cladocera) to isolate variable number of tandem repeat (VNTR) markers for linkage mapping, Quantitative Trait Loci (QTL), and functional studies.Expressed sequence tag (EST) databases provide a valuable source of genetic data in organisms whose genome sequence information is not yet compiled. We used a published EST database for the waterflea Seventy-four polymorphic markers were isolated and characterised. Analyses of repeat structure, putative gene function and polymorphism indicated that intragenic tandem repeats are not distributed randomly in the mRNA sequences; instead, dinucleotides are more frequent in non-coding regions, whereas trinucleotides (and longer motifs involving multiple-of-three nucleotide repeats) are preferentially situated in coding regions. We also observed differential distribution of repeat motifs across putative genetic functions. This indicates differential selective constraints and possible functional significance of VNTR polymorphism in at least some genes.Databases of VNTR markers situated in genes whose putative function can be inferred from homology searches will be a valuable resource for the genetic study of functional variation and selection. Daphnia (Crustacea:Cladocera) are small planktonic crustaceans found in standing freshwater bodies around the world. They have a long history as model organisms for evolutionary, ecological and ecotoxicological research. Recently, the genus has been the focus of a major sequencing effort, and the full genome sequence of Daphnia pulex is now available : Concentration of MgCl2 used in the PCR buffer. An asterisk following MgCl2 concentration indicates hot start PCR.Click here for fileDescription of the 74 polymorphic VNTR loci. EST locus: locus containing the VNTR; Size: size of the repeated motif; Sequence: repeat consensus sequence. N: number of repeats, ; A: number of alleles. *: total number of alleles in loci with more than one repeated motif. He: Gene diversity.Click here for fileResults of homology searches and putative functions of EST loci. TM: transmembrane regions. Function categories: DEF: defense; MET: metabolism; OTH: other; SIG: signaling and gene expression regulation; SUR: surface and integumental proteins; UNK: unknown function. No hit: no significant homolog found .Click here for fileDistribution of allele sizes of polymorphic loci in each sampled location.Click here for file"}
+{"text": "The author contributions are incorrect. The correct contributions are: Performed the experiments: ZA RC LC ADB EAAF ON CT CU HK HPS"}
+{"text": "Hemophagocytic syndrome is a rare clinicopathological condition characterized by the activation of the mononuclear phagocyte system, resulting in hemophagocytosis in the reticuloendothelial systems. The pathogenesis of HPS remains unclear.We report the case of a 20-year-old soldier suffering from HPS. Because of long history fever and no reasons being found, his left groin lymph node and left neck lymph node biopsy were done with two weeks interval. We found a marked increase in plasma cells in left neck lymph node during the course of the disease.Our result provides a new thought for the researchers to understand the mechanisms responsible for the phagocytosis in HPS. Hemophagocytic syndrome (HPS) is a rare entity characterized by the dysfunction of cytotoxic T cells (CTL) and natural killer (NK) cells, and the activation of the mononuclear phagocyte system ,2. Its c9/L, red blood cell 3.42 \u00d7 1012/L, hemoglobin 107 g/L, platelet count 156 \u00d7 109/L, fibrinogen 0.67 g/L, triglyceride 13.9 mmol/L (Table A 20-year-old enlisted man presented with a 1-month history of discontinuous fever, panic, and hypodynamia, and was admitted to People's Liberation Army 152 hospital in May 2008. He had no other complaints. The patient had previously been healthy, with no history of infectious diseases or allergies to food or drugs. Physical examination showed a temperature of 37.3\u00b0C and no other remarkable signs. Laboratory measurements and examinations revealed no abnormalities. On admission, the patient was administered broad spectrum antibiotics and antiviral drugs. However, his fever failed to resolve and his temperature rose to between 38.5\u00b0C and 40.9\u00b0C. More than 2 weeks later, lymphadenopathy of the left neck, armpit, and left groin was detected by ultrasound. Left groin lymph node and bone marrow puncture biopsies were performed. Histopathological examination of the groin lymph node showed reactive hyperplasia and revealed one histiocyte engulfing few blood cells Figure. . The bonLeft neck lymph node biopsy and bone marrow puncture smear were performed. The results were characteristic of HPS Figure. . The gerHPS is a life-threatening condition characterized by the activation of the MPS. It can be divided into genetic HPS and secondary HPS . GeneticAlthough progress has been made in understanding the pathophysiology of HPS, the exact mechanisms responsible for the phagocytosis are unknown in HPS. Researchers found out that there have the RBC antibodies in the EBV-HPS and anti-RBC antibodies were involved in the phagocytosis of RBCs by macrophages . Also seThis case report showed plasma cells increased markedly in the left neck node during the progression of HPS. The result maybe provide one way to study the pathophysiology of the HPS.HPS: hemophagocytic syndrome; CTL: cytotoxic T cells; MPS: mononuclear phagocyte system; HAV: hepatitis A virus; HBV: hepatitis B virus; HCV: hepatitis C virus; HIV: human immunodeficiency virus; CP: chlamydia pneumoniae; MP: mycoplasma; RSV: respiratory syncytial virus; Adv: adenovirus; WBC: white blood cell count; RBC: red blood cell; HGB: hemoglobin; PLT: platelet count; PT: prothrombin time; NR: international normalized ratio; TT: thrombin time; APTT: activated partial thromboplastin time; FIG: fibrinogen; TP: total protein; ALB: albumin; GLOB: globulin; DB: direct bilirubin; IB: indirect bilirubin; \u03b3-GT: \u03b3-glutamyl transpeptidase; CK: creatine kinase; CK-MB: creatine kinase-MB; HBDH: hydroxybutyrate dehydrogenase; LDH: lactate dehydrogenase; TG: triglyceride; \u03b22-MG: \u03b22-microglolulin; CRP: C-reactive protein; ALP: alkaline phosphatase.Written informed consent was obtained from the patient' older brother for publication of this case report and accompanying images. A copy of the written consent is available for review by the Editor-in-Chief of this Journal.The authors declare that they have no competing interests.L CY and M YY interpreted the data, operated on the patient and wrote the manuscript. L CG performed the histological examination. H XX reviewed the paper. All authors read and approved the final manuscript."}
+{"text": "Axiothella rubrocincta. Employing immunocytochemistry in combination with confocal laserscanning microscopy, we broaden the database on capitellid organogenesis, thereby incorporating classical histological data in our analysis. Besides assessing possible shared features with the echiurans, we also discuss the variability of neural and muscular characters within the Capitellida.Numerous phylogenetic analyses on polychaete annelids suggest a taxon Capitellida that comprises the three families Maldanidae, Arenicolidae and Capitellidae. Recent molecular studies support the position of the Echiura, traditionally ranked as a separate phylum, within the capitellids. In order to test the robustness of this molecular-based hypothesis we take a different approach using comparative analyses of nervous and muscle system development in the maldanid Axiothella, consists of cerebral commissures that give rise to simple circumesophageal connectives with fused ventral and dorsal roots and a single ventral neurite bundle. From the latter arise segmental neurites that innervate the peripheral bodywall. Since there is no observable regular pattern, and individual neurites are lost during ontogeny, their exact arrangement remains elusive. The pharynx is encircled by a prominent stomatogastric nerve ring, with a pair of anterior and lateral proboscis neurites directly connecting it to the central nervous system. One pair of ventral and one pair of dorsal longitudinal muscles form the earliest rudiments of the bodywall musculature in late larval stages, while a continuous layer of circular muscles is lacking throughout ontogeny.The scaffold of the adult central nervous system, which is already established in early developmental stages of Comparative neurodevelopmental analysis of capitellid and echiuran species reveals several common characters, including simple circumesophageal connectives, a single fused ventral nerve strand, and a stomatogastric ring nerve, that support a close relationship of both taxa, thus corroborating recent molecular phylogenetic analyses. The data on myogenesis show that four longitudinal muscle bands most likely represent an ancestral character not only for the Capitellida, but for the Annelida in general. Whether or not circular muscles are part of the annelid groundpattern remains uncertain. Axiothella rubrocincta not only offers an opportunity to assess the ingroup variability of neural characters within the Capitellida but also allows to compare neurogenesis and nervous system organization with those data that recently have become available for echiurans. This serves as an independent test of the molecular data which propose the placement of the echiurans within the Capitellida.The Maldanidae, also referred to as 'bamboo worms', comprise a group of deposit-feeding polychaete annelids that live in tubes composed of bottom material. They are usually considered related to the Arenicolidae and Capitellidae, and these three families are grouped together in the taxon Capitellida . Recent Axiothella may also aid in casting light on the ancestral state of muscular systems in annelids and lophotrochozoans as a whole. The musculature of the Capitellida comprises a closed outer layer of circular fibers similar to that of clitellate oligochaetes . The primary antibodies, polyclonal rabbit anti-serotonin , polyclonal rabbit anti-FMRFamide , and monoclonal mouse anti-acetylated \u03b1-tubulin , all in block-PTA, were either applied separately or in a mixed cocktail for 24 h. Subsequently, the specimens were rinsed in block-PTA with three changes over 6 h and incubated in a mixture of 4'6-diamidino-2-phenyl-indole [DAPI ], secondary fluorochrome-conjugated antibodies and, for F-actin visualization, Alexa Fluor 488 phalloidin in block-PTA overnight. Finally, the specimens were washed three times in PB without NaN3 and were directly mounted in Fluoromount G on glass slides. A minimum of 10 immunolabeled specimens per developmental stage was analyzed for each antibody. Approximately 65 image stacks of optical sections were recorded as Z-wide-projections with 0.1-0.5 \u03bcm step size using a Leica DM IRE2 fluorescence microscope equipped with a Leica TCS SP 2 confocal laserscanning unit . Setae are visible in the tubulin scans due to autofluorescence. Images were processed with Adobe Photoshop CS3 to adjust contrast and brightness and were arranged into figure plates using Adobe Illustrator CS3 . The three-dimensional computer reconstructions were generated with the imaging software Imaris v. 5.5.3 using surface rendering algorhithms.The following steps were all performed at 4\u00b0C. Antibody staining was preceded by tissue permeabilization for 1 h in 0.1 M PB with 0.1% NaN1s-7s: setigers; a: anus; ac: apical cilia; apn: anterior proboscis neurite; as: anal sphincter; a-str: accessory stomatogastric nerve ring; bun: nerves of the buccal epithelium; cc: circumesophageal connective; cg: cerebral ganglion; cm-rs: circular muscle of the retractor sheath; dl-cg: dorsal lobe of the cerebral ganglion; dlm: dorsal longitudinal muscle bundle; d-sp: dorsal serotonergic perikarya; d-vlm: diagonal ventral longitudinal muscle; e: esophagus; ge: glandular epidermis; h: head; i: intestine; lm: longitudinal muscle fiber; lm-rs: longitudinal muscle of the retractor sheath; lpn: lateral proboscis neurite; ma: main strand; me: median strand; nn: nuchal neurite; nt: neurotroch; pc: posterior cilia; per: peristomium; ph: pharynx; pn: protonephridium; pnn: peripheral network of neurites; prn: prostomial nerves; pro: prostomium; pt: prototroch; py: pygidium; s: setae; sm: setal muscles; stp: neuronal stomatogastric projection; str: stomatogastric nerve ring; s-vlm: straight ventral longitudinal muscle; tt: telotroch; vl-cg: ventral lobe of the cerebral ganglion; vlm: ventral longitudinal muscle bundle; vnb: ventral neurite bundle; v-sp: ventral serotonergic perikarya.NB performed research, analyzed data and drafted the manuscript. AW designed and coordinated research and contributed to writing of the manuscript. Both authors conceived the study, read, and approved the final version of the manuscript."}
+{"text": "Due to the addition of author Dao-Fu Dai, the author contributions should now read: Conceived and designed the experiments: WL. Performed the experiments: LCE JFM PRT. Analyzed the data: LCE PRT MJE DFD WL. Contributed reagents/materials/analysis tools: NSW GSM PSR WL. Wrote the paper: LCE."}
+{"text": "Because the author Aruna Panda was added to the author byline after publication, the Author Contributions section does not correctly reflect the new authorship. The new Author Contributions should read:Conceived and designed the experiments: GN WK ZY DP SR CW DS. Performed the experiments: WK ZY DP LD SR CW ES HS HW GR AP. Analyzed the data: GN WK ZY DP MN SR CW DS. Wrote the paper: GN WK ZY DP SR CW DS AP."}
+{"text": "Objective: To investigate clinical experience with the apparent malignant transformation of benign liver cell adenomas.Design: Retrospective review of personal experience and literature.Setting: University hospital and affiliated community hospitals.Patients: All patients diagnosed with liver cell adenomas over a 30-year period.Interventions: Liver resection and/or tumor biopsy.Main Outcome Measures: Gender, age, drug associations, alpha-fetoprotein levels, response to treatment, and survival.Results: Thirteen patients from personal experience and 26 patients from the reports of others had liver cell adenomas that were not resected. Five of these patients subsequently developed hepatocellular carcinoma.Conclusions: Malignant transformation of a liver cell adenoma is a rare phenomenon, but it does occur. Alphafetoprotein levels may be more helpful in diagnosis than expected from previous reports. Solitary benign adenomas should be resected whenever possible. Patients with diffuse multiple tumors should be observed closely over a long period."}
+{"text": "There were errors in the Author Contributions. The correct contributions are: Conceived and designed the experiments: TK KH ZPF PR. Performed the experiments: TK KH WK NR GS. Analyzed the data: TK KH ZPF PR. Wrote the paper: TK KH ZPF PR."}
+{"text": "With the advent of functional magnetic resonance imaging (fMRI) in awake animals it is possible to resolve patterns of neuronal activity across the entire brain with high spatial and temporal resolution. Synchronized changes in neuronal activity across multiple brain areas can be viewed as functional neuroanatomical circuits coordinating the thoughts, memories and emotions for particular behaviors. To this end, fMRI in conscious rats combined with 3D computational analysis was used to identifying the putative distributed neural circuit involved in aggressive motivation and how this circuit is affected by drugs that block aggressive behavior.1a receptor antagonist SRX251 or the selective serotonin reuptake inhibitor fluoxetine, drugs that block aggressive behavior, both caused a general suppression of the distributed neural circuit involved in aggressive motivation. However, the effect of SRX251, but not fluoxetine, was specific to aggression as brain activation in response to a novel sexually receptive female was unaffected.To trigger aggressive motivation, male rats were presented with their female cage mate plus a novel male intruder in the bore of the magnet during image acquisition. As expected, brain areas previously identified as critical in the organization and expression of aggressive behavior were activated, e.g., lateral hypothalamus, medial basal amygdala. Unexpected was the intense activation of the forebrain cortex and anterior thalamic nuclei. Oral administration of a selective vasopressin VThe putative neural circuit of aggressive motivation identified with fMRI includes neural substrates contributing to emotional expression , emotional experience and the anterior thalamic nuclei that bridge the motor and cognitive components of aggressive responding. Drugs that block vasopressin neurotransmission or enhance serotonin activity suppress activity in this putative neural circuit of aggressive motivation, particularly the anterior thalamic nuclei. Aggression is a normal component of mammalian behavior . For ani1a and 5HT1b receptor agonists arginine vasopressin, blocks aggressive behavior -1for each subject (i) was also calculated.Anatomy images for each subject were obtained at a resolution of 2562 with a depth of 1200 \u03bcm, many small brain areas cannot be resolved; or, if they could be resolved they would be represented by one or two voxels only . Consequently, small detailed regions are not included in the analysis or are grouped into larger \"minor volumes\" of similar anatomical classification. For example, in these studies we have the basal nucleus of the amygdala listed as a minor volume. This area is a composition of the basomedial anterior part, basomedial posterior part, basolateral anterior part and basolateral posterior part with a composite voxel size of 54. In this study, 12 brain slices were collected extending from the tip of the forebrain to the end of the cerebrum stopping at the midbrain just rostral to the cerebellum. Within these rostral/caudal boundaries we delineated 83 minor volumes. In addition, we grouped brain areas into \"major volumes\" . The volume of activation (number of significant voxels) can be visualized in these 3D major and minor anatomical groupings is 486 \u03bcmt tests were performed on each voxel of each subject within their original coordinate system. The baseline threshold was set at 2%. The t test statistics used a 95% confidence level, two-tailed distributions, and heteroscedastic variance assumptions. As a result of the multiple t test analyses performed, a false-positive detection controlling mechanism was introduced -1, mapped it within a voxel of subject (i). A tri-linear interpolation of the subject's voxel values (percentage change) determined the statistical contribution of subject (i) to the composite location. The use of [Ti]-1 ensured that the full volume set of the composite was populated with subject contributions. The average value from all subjects within the group determined the composite value. The BOLD response maps of the composite were somewhat broader in their spatial coverage than in an individual subject; so only average number of activated pixels that has highest composite percent change values in particular ROI was displayed in composite map. Activated composite pixels are calculated as follows:A statistical composite was created for each group of subjects. The individual analyses were summed within groups. The composite statistics were built using the inverse transformation matrices. Each composite pixel location , premultiplied by [The composite percent change for the time history graphs for each region was based on the weighted average of each subject, as follows:N is number of subjects.where The percent change in BOLD signal for time history graphs see Figs , 7, 8 weACA: anterior cingulated; ACB: accumbens; AH: anterior hypothalamus; AL: agranular insular cortex; ALP: anterior lobe pituitary; AM: anteromedial nucleus thalamus; AON: anterior olfactory nucleus; AUD: auditory cortex; AV: anteroventral nucleus thalamus; BNST: bed nucleus stria terminalis; CA1: hippocampus; CA3: hippocampus; COA: cortical nucleus amygdale; DG: dentate gyrus; DS: dorsal striatum; ENT: entorhinal cortex; IC: inferior colliculi; ILA: infralimbic cortex; IPN: interpeduncular nucleus; LHA: lateral hypothalamus; LP: lateral posterior nucleus thalamus; LS: lateral septum; MEA: medial amygdale; MM: mammillary nuclei; MO: motor cortex; MRN: mesencephalic reticular nucleus; ORB: orbital cortex; OT: olfactory tubercle; PAG: periaqueductal gray; PIR: piriform cortex; PL: prelimbic cortex; PTL: parietal cortex; PVN: paraventricular nucleus hypothalamus; PVT: paraventricular nucleus thalamus; RE nucleus reunions thalamus; RSP: retrosplenial cortex; RPH: raphe; SC: superior colliculi; SN: substantia nigra; SSP: primary somatosensory cortex; VMH: ventromedial hypothalamus; VP: ventral posterior nucleus thalamus; VTA: ventral tegmental areaCraig Ferris and Mathew Brevard have a financial interest in Insight MRI the bioengineering company that manufactures the animal imaging equipment used in these studies. Craig Ferris and Neal Simon have a financial interest in Azevan Pharmaceuticals the company developing SRX251 an orally active V1a receptor antagonist used in these studies.Each author has made a significant contribution to these studies either in the acquisition of data , software development, data analysis , or study design and manuscript preparation . All authors read and approved the final manuscript."}
+{"text": "Escherichia coli, allowing for the estimation of energy generation and cell synthesis, based on intracellular fluxes and that may be used to characterize phenotypic growth.It is quite important to simulate the metabolic changes of a cell in response to the change in culture environment and/or specific gene knockouts particularly for the purpose of application in industry. If this could be done, the cell design can be made without conducting exhaustive experiments, and one can screen out the promising candidates, proceeded by experimental verification of a select few of particular interest. Although several models have so far been proposed, most of them focus on the specific metabolic pathways. It is preferred to model the whole of the main metabolic pathways in E. coli. Once intracellular fluxes were computed by this model, the specific ATP production rate, the specific CO2 production rate, and the specific NADPH production rate could be estimated. The specific ATP production rate thus computed was used for the estimation of the specific growth rate. The CO2 production rate could be used to estimate cell yield, and the specific NADPH production rate could be used to determine the flux of the oxidative PP pathway. The batch and continuous cultivations were simulated where the changing patterns of extracellular and intra-cellular metabolite concentrations were compared with experimental data. Moreover, the effects of the knockout of such pathways as Ppc, Pck and Pyk on the metabolism were simulated. It was shown to be difficult for the cell to grow in Ppc mutant due to low concentration of OAA, while Pck mutant does not necessarily show this phenomenon. The slower growth rate of the Ppc mutant was properly estimated by taking into account the lower specific ATP production rate. In the case of Pyk mutant, the enzyme level regulation was made clear such that Pyk knockout caused PEP concentration to be up-regulated and activated Ppc, which caused the increase in MAL concentration and backed up reduced PYR through Mez, resulting in the phenotypic growth characteristics similar to the wild type.In the present study, we considered the simulation of the main metabolic pathways such as glycolysis, TCA cycle, pentose phosphate (PP) pathway, and the anapleorotic pathways using enzymatic reaction models of E. coli for understanding metabolic changes inside the cell in response to specific pathway gene knockouts, considering the whole main metabolic pathways. The comparison of the simulation result with the experimental data indicates that the present model could simulate the effect of the specific gene knockouts to the changes in the metabolisms to some extent.It was shown to be useful to simulate the main metabolism of One of the most challenging goals of metabolic engineering is to design the cell metabolism based on the analysis of metabolic regulation. For this, it is strongly desired to develop a mathematical model which can describe the dynamic behaviour of the cell in response to the changes in the culture environment and/or specific genetic modifications. Although an attempt has been made to develop a platform for the whole cell model , the totSaccharomyces cerevisiae glucose, 0.4 g of [1-13C] glucose, and 3.2 g of naturally labeled glucose per liter. Biomass samples for GC-MS analysis were taken after one residence time. Sample preparation, analytical procedures for GC-MS analysis, and flux computation are given elsewhere denotes the concentration, and the abbreviations for the metabolites are explained in Nomenclature. ll grows . As showThe estimation for the cell growth rate is by far important. In particular, it is critical for the prediction of the specific gene knockout mutant. The most typical equation for the cell growth rate is the Monod equation:S is the substrate concentration and S \u2261 [ex Glc] in the present case. The drawback of this equation is that the cell will keep growing at \u03bcm as far as S \u226b Ks where Ks is usually quite small in the case of the utilization of glucose as the substrate. This does not reflect the fermentation characteristics in practice. Therefore, we introduced another term such aswhere X is the cell concentration and Xm is the final value of X in the batch culture, and n is the model parameter. Xm may be set as S(0)YS/X where S (0) is the initial substrate concentration, and YS/X is the yield coefficient. Although this equation can be used to simulate the dynamic behavior in batch culture, Eq. (2b) may not be able express the cell growth rate for the mutants. We, therefore, introduce another idea by taking into account the effect of ATP generation on the cell growth rate based on experimental observation.where 2 can contribute in generating ATP via oxidative phosphorylation. The pathways involved in electron transfer and oxidative phosphorylation have variable stoichiometry due to the use of different dehydrogenases and cytochromes. Namely, the NADH dehydrogenase NDH-I encoded by nuo gene transports 2 H+/e-, while NDH-II encoded by ndh gene transports 0 H+/e- /[NAD] ratio increases as given by Eq.10) of Table 0 of Tablm = 8 mM) and Icl compete for ICIT. This branch point is under both gene level regulation by aceBAK operon and the enzyme level regulation by the phosphorylation/dephosphorylation of ICDH. Here, we considered the rate equation for ICDH as given by Eq.(15) of Table For citrate synthase reaction, Eq.14) in Table 4 in TablAs for the glyoxylate pathway, Eq. 16) of Table 6 of TablFor G6PDH and 6PGDH reactions in the PP pathway, Eqs.(23) and (24) of Table 2 production rate Once the fluxes were determined, the specific CO2 production rate was computed by the product of net production of CO2 and biomass concentration, i.e. and the total COvNADPH may also be estimated byMoreover, the specific NADPH production rate \u03bc and vNADPH computed based on the flux estimates obtained from 13C-labeling experiments [It should be noted that the flux determination in the PP pathway is not easy for the enzyme-based kinetic equations. In particular, it is not easy to accurately predict the flux of G6PDH at the branch point of G6P. Figure eriments ,15, indikNADPH value from Figure kNADPH after \u03bc was computed. Then, the flux of G6PDH may be estimated.Once we identified As stated in introduction, it is not easy, even if it is not impossible, to express gene-level regulation by mathematical equations. Here, we alternatively introduced several rules for the simulation based on the experimental observations and the roles of global regulators such as given in Additional file Metabolites2KG: 2-Keto-D-gluconate; 6PG: 6-Phosphogluconolactone; ACE: Acetate; AcP: Acetyl phosphate; AcCoA: Acetyl-CoA; ASP: Aspartate; ADP: Adenosine diphosphate; ATP: Adenosine-5'-triphosphate; AMP: Adenosine monophosphate; DHAP: Dihydroxyacetone phosphate; E4P: Erythrose 4-phosphate; F6P: Fructose 6-phosphate; FDP: Fructose 1,6-bisphosphate; FUM: Fumarate; G6P: Glucose-6-phosphate; GAP: Glyceraldehyde 3-phosphate; ICIT: Isocitrate; NAD/NADH: Nicotinamide adenine dinucleotide; NADP/NADPH: Nicotinamide adenine dinucleotide phosphate; MAL: Malate; OAA: Oxaloacetate; P: Phosphate; PEP: Phosphoenolpyruvate; PYR: Pyruvate; R5P: Ribulose 5-phosphate; Ru5P: Ribose 5-phosphate; S7P: Sedoheptulose 7-phosphate; SUC: Succinate; X5P: Xylulose 5-phosphateProtien (enzyme)Glc,/EIICBGlc: Enzyme for glucose; Eno: Enolase; Fum: Fumarase; G6PDH: Glucose-6-phosphate dehydrogenase; GAPDH: Glyceraldehyde 3-phosphate dehydrogenase; ICDH: Isocitrate dehydrogenase; HPr: Histidine containing protien; Icl: Isocitrate lyase; MDH: Malate dehydrogenase; Mez: Malic enzyme; Ms: Malate synthase; Pck: Phosphoenolpyruvate carboxykinase; PDH: Pyruvate dehydrogenase; Pfk/Pfk-1: Phosphofructokinase-1; Pgi: Phosphoglucose isomerase/Glucosephosphate isomerase; Pgk: Phosphoglycerate kinase; Pgm: Phosphoglycerate mutase; Ppc: PEP carboxylase; Pps: Phosphoenolpyruvate synthase; Pta: Phosphotransacetylase; PTS: Phosphotransferase system; Pyk: Pyruvate kinase; Rpe: Ribulose phosphate 3-epimerase; Rpi: Ribulose 5-phosphate 3-isomerase; SDH: Succinate dehydrogenase; Tal: Transaldolase; TktA: TransketolaseI; TktB: TransketolaseII2KGDH: 2-Keto-D-gluconate Dehydrogenase; Ack: Acetate kinase; Acs: Acetyl coenzyme A synthetase; AcP: Acetyl phosphate; Aldo: Aldolase; CS: Citrate synthase; EI: Cytoplasmatic protein (enzyme1); EII, EIIB, EIIC,: Carbohydrate specific (enzyme II); EIIAGeneaceBAK: operon which encodes the metabolic and regulatory enzymes of the glyoxylate bypass; cra: Catabolite repressor/activator; crr: Catabolite repressor; fadR: Fatty acid metabolism regulator; icdA: Isocitrate dehydrogenase A; iclR: Transcriptional repressor IclR; pckA: Phosphoenolpyruvate carboxykinase gene; pfkA, pfkB: Phosphofructokinase gene; ppsA: Phosphoenolpyruvate synthase gene; ptsG, ptsHI: Pts gene; pykA, pykF: Pyruvate kinase geneThe authors declare that they have no competing interests.TAAK made modeling, experiment and computer simulation, AAM made some TCA cycle modeling and simulation, AMK supervised computer simulation, JM made formulation, KS made modeling and manuscripts preparation. All authors read and approved the final manuscripts.Effects of initial metabolite concentrations on the fermentation characteristics.Click here for fileSimulation result of wild type and Ppc mutant in batch culture.Click here for fileTable S1 - Ruled used for the simulation.Click here for fileSimulation result of wild type and Ppc mutant in continuous culture.Click here for fileSimulation result of wild type and Pck mutant in continuous culture.Click here for fileSimulation result of wild type and Pyk mutant in batch culture.Click here for fileSimulation result of wild type and Pyk mutant in continuous culture.Click here for fileComputational procedure for the simulation of fitting experimental data.Click here for file"}
+{"text": "There were errors in the Author Contributions. The correct contributions are: Conceived and designed the experiments: ACC KHAC LHW. Performed the experiments: ACC ELN LHW. Analyzed the data: ACC ELN KHBM KHAC LHW. Contributed reagents/materials/analysis tools: KHAC LHW. Wrote the paper: ACC KHAC LHW. Technical advice and discussion: ACC ELN KHBM KHAC LHW."}
+{"text": "The EQ-5D has been extensively used to assess patient utility in trials of new treatments within the cardiovascular field. The aims of this study were to review evidence of the validity and reliability of the EQ-5D, and to summarise utility scores based on the use of the EQ-5D in clinical trials and in studies of patients with cardiovascular disease.A structured literature search was conducted using keywords related to cardiovascular disease and EQ-5D. Original research studies of patients with cardiovascular disease that reported EQ-5D results and its measurement properties were included.Of 147 identified papers, 66 met the selection criteria, with 10 studies reporting evidence on validity or reliability and 60 reporting EQ-5D responses (VAS or self-classification). Mean EQ-5D index-based scores ranged from 0.24 (SD 0.39) to 0.90 (SD 0.16), while VAS scores ranged from 37 (SD 21) to 89 (no SD reported). Stratification of EQ-5D index scores by disease severity revealed that scores decreased from a mean of 0.78 (SD 0.18) to 0.51 (SD 0.21) for mild to severe disease in heart failure patients and from 0.80 (SD 0.05) to 0.45 (SD 0.22) for mild to severe disease in angina patients.The published evidence generally supports the validity and reliability of the EQ-5D as an outcome measure within the cardiovascular area. This review provides utility estimates across a range of cardiovascular subgroups and treatments that may be useful for future modelling of utilities and QALYs in economic evaluations within the cardiovascular area. Cardiovascular disease (CVD) imposes a great burden on societies around the world, with an estimated 16.7 million - or 29.2% of total global deaths - resulting from various forms of CVD.Increasingly over time, clinical trials within the cardiovascular field have included HRQoL measures. Such measures, alongside clinical measures of functionality, can help evaluate the physical, mental and emotional implications of CVD as well as the effects of surgical and medical treatments. Commonly used functional classification systems within the cardiovascular field are the New York Heart Association (NYHA) functional classification system for heart failure patients and the Canadian Cardiovascular Society (CCS) grading scale for angina pectoris,5. HRQoLAmong the available generic measures, the EQ-5D has gained widespread use due to its simplicity to administer, score and interpret. It also imposes minimal burden on the respondent as it is a brief, simple measure for patients to understand and to complete. The index-based score is generated by applying societal preference weights to the health state classification completed by the patient that consists of five dimensions , each with three levels of response or severity . The ability to convert self classification responses into a single index score makes the EQ-5D practical for clinical and economic evaluation. The indThe principle aims of this paper were: to synthesise the evidence on the validity and reliability of the EQ-5D in studies within the cardiovascular field; to summarise the EQ-5D based scores reported in studies within the CVD field; and to attempt to stratify mean utility scores according to level of disease severity.http://www.euroqol.org was also used to identify unique references, including working papers and conference proceedings that may not have been captured in the initial literature search. Only full-text published papers were included for analysis.A computerised search of the current published literature was performed using MEDLINE and EMBASE for the period January 1988 to October 2008. The search strategy combined exploded or medical subject headings relating to the CVD field and the EQ-5D as follows: ('cardiovascular'/exp OR 'cardiovascular') OR ('cardiac'/exp OR 'cardiac') OR ('cardiology'/exp OR 'cardiology') AND 'euroqol' OR 'EQ 5D' OR 'EQ5D'. The EuroQol website The inclusion criteria required that the paper was original research, and that it reported EQ-5D scores specific to cardiovascular disease or reported psychometric properties of the EQ-5D in a population with cardiovascular disease. Studies that only reported EQ-5D index or VAS scores graphically in terms of change over time were excluded from the analysis. When multiple studies used the same dataset, EQ-5D scores were only reported from one article to avoid double counting. No language restrictions were imposed. Study abstracts that potentially met the inclusion criteria were identified, and full-text articles were retrieved for further review. A standard data abstraction form was developed to facilitate the structured review, which included study design, patient characteristics, intervention information, published source of index-based preference weights and EQ-5D scores as well as details of any other clinical measures; disease-specific quality of life and generic HRQoL instruments. A summary of the results of the literature search is provided in figure I2 statistic [I2 statistic uses the sum of the squared differences of each study from the pooled estimate and the degrees of freedom of the test to provide a measure of the percent of total variation across studies due to heterogeneity between studies. A meta-analysis yielding a value of I2 above 75% suggests a high level of heterogeneity between the studies. Psychometric properties were summarised according to the type of property assessed , the comparison performed, and the statistical test result.Initially, studies that reported EQ-5D index-based scores and/or VAS scores were sorted into cardiovascular subgroups that were informed by the latest WHO International Classification of Diseases (ICD-10: I00-I99 - diseases of the circulatory system) explored construct validity (convergent and discriminative), typically in terms of correlations with other disease-specific HRQoL measures as well as reliability and responsiveness . Both the CCS and NYHA scales range from class I (mild symptoms) to class IV (severe symptoms) and CCS can also be graded as 0 for no symptoms rely on generic measures such as the EQ-5D for the calculation of QALYs. Increased use of the EQ-5D may also support the view that patient reported outcomes and quality of life are becoming more widely accepted as routine measures in clinical studies, with the EQ-5D being an internationally recognised generic measure of HRQoL. This summary of EQ-5D index and VAS scores in the cardiovascular field complements other published reports describing the use of the EQ-5D in the cancer and asthma/COPD literature and of utility scores associated with various conditions -50.The review found that the majority of studies that included the EQ-5D were within IHD I20 - I25) and cerebrovascular disease (I60 - I69), subgroups, reflecting the relative prevalence of these diseases worldwide. Stratification by disease severity was possible for IHD patients and heart failure patients and illustrated a positive relationship with the EQ-5D when moving from severe to mild disease severity as well as non-disease-related factors such as other co-morbidities and demographic characteristics. Furthermore, no Overall, this study illustrated the difficulty in attempting to adequately deal with statistical heterogeneity based on aggregated data from published studies . This woHRQoL measures such as the EQ-5D can be useful tools to clinicians in terms of evaluating the impact of cardiovascular disease on patients and can help to inform decision making and resource allocation. The use of the EQ-5D in CVD studies has increased in recent years and published studies provide evidence of its validity and reliability. The variation in EQ-5D index and VAS scores reported here largely reflect systematic differences in terms of disease stage, treatment and patient characteristics. In the future, as more studies of CVD present EQ-5D scores according to disease severity, it may be possible to calculate pooled mean estimates that can be useful in modelling of CVD-related health outcomes in economic evaluations.AAA: Abdominal aortic aneurysm; ACS: Acute coronary syndromes; ACT: Anticoagulation therapy; AF: Atrial fibrillation; AH-Drug: Anti-hypertensive drug therapy; AHF: Advanced heart failure; AMI: Acute myocardial infarction; Amp.: Amputation; Angio: Coronary Angiography; ASA: American Society of Anaesthesiologists; ASCOT-AHD: Anglo-Scandinavian cardiac outcomes trial - anti-hypertensive drug treatment; Asym./Sym.: Asymptomatic/Symptomatic; AUT: Austria; AVR: Aortic valve replacement; BI: Barthel Index; BOTH-CABG/PCI/MM: Patients who are suitable for both CABG and PCI and receive CABG/PCI/MM; CABG: Coronary artery bypass graft; CABG-80: Coronary artery bypass surgery in octogenarians; CABG-CABG/PCI/MM: Patients who are suitable for CABG and receive CABG/PCI/MM; CABG-CPB: CABG using heart lung machine; CAD: Coronary artery disease; C-Arrest: Cardiac arrest; CCR: Comprehensive cardiac rehabilitation; CCS: Canadian Cardiovascular Society; CCU: Coronary care unit; CES-D: Centre for Epidemiological Studies - Depression Scale; CHD: Coronary heart disease; CHD-PHARM/Control: Community pharmacy-led medicines management programme/control treatment for patients with CHD; CML: Case method learning supported lipid-lowering strategy; COMM - CVD/NOCVD: Community dwelling-based elderly patients with/without CVD; CR: Cardiac resynchronisation; CR-Home/Hosp: Home/Hospital-based cardiac rehabilitation; C-REHAB: Cardiac rehabilitation; CS: Conservative strategy; CVA: Cerebrovascular Accident; CVD: Cardiovascular disease; Duplex US: Duplex ultrasonography; Echo: Echocardiography; EHS-CR: Euro Heart Survey on coronary revascularisation; Endo: Endovascular AAA surgery; ES: Effect size; Exercise-Qol: Long-term effects of exercise training on quality of life; F-u: Follow-up; GRS: Guyatt's responsiveness statistic; HeartMed: Lifestyle advice intervention by community pharmacists for heart failure patients; HF: Heart failure; HOSP - CVD: Hospital-based elderly patients with CVD; HRQoL: Health-related quality of life; HUI2/3: Health Utilities Index mark 2/3; IC: Intermittent claudication; ICC: Intra-class correlation; ICD: Implantable cardioverter defibrillator; ICP: Integrated care pathway; IHD: Ischaemic heart disease; IQR: Inter-quartile range; IS: Interventional strategy; IV: Intravenous; KCCQ: Kansas City Cardiomyopathy Questionnaire; LV: Left ventricular; MacNew: MacNew Heart Disease Quality of Life Questionnaire; MCS: Mental component summary; MDT: Multi-disciplinary team; MEDMAN: Community pharmacy-led medicines management services; MEPS: Medical expenditure panel survey; MI: Myocardial infarction; MI - Self-help: Home-based self-help rehabilitation package for MI patients; MIDCAB: Minimally invasive direct CABG; MM: Medical management; MR Angio: Magnetic resonance angiography; MRI: Magnetic resonance imaging; MT: Medical therapy; MVPS: Mitral valve prolapse syndrome; NYHA: New York Heart Association; OP-CABG: Off-pump CABG; Open: Open AAA surgery; PAOD: Peripheral arterial occlusive disease; PCI: Percutaneous coronary intervention; PCI-BMS: PCI with bare-metal stents; PCI-CABG/MM/PCI: Patients who are suitable for PCI and receive CABG/PCI/MM; PCI-DES: PCI with drug-eluting stents; PCS: Physical component summary; PER: Peripheral endovascular revascularisation; Pre-op: Pre-operation; Proxy: HRQol questionnaire completed by spouse/family member; PSM: Patient self-management; P-PTCA: Primary PTCA; P-Stent: Primary stent placement; PTCA: Percutaneous transluminal coronary angioplasty; QLMI: Quality of Life after MI questionnaire; QoL: Quality of life; RCT: Randomised controlled trial; REV/NO REV: Eligible/Ineligible for Revascularisation; SAH: Subarachnoid haemorrhage; SCOPE-Drug/Control: Study on cognition and prognosis in the elderly - Drug/Control treatment; SD: Standard deviation; SES: Socioeconomic status; SF-36: Short-form 36-item health survey questionnaire; SF-6D: Short-form 6D; SF-12: Short-form 12-item health survey questionnaire; SPECT: Single photon emission computed tomography; SRM: Standardised response means; Stroke-4Y: Four years post-stroke; TIA: Trans-ischaemic attack; Trans.: Heart Transplantation; Tx: Treatment; UC: Usual care; VAD: Ventricular assist device; VAS: Visual analogue scale; VascuQol: Vascular Quality of Life Questionnaire; -ve/+ve: Deterioration/Improvement in condition; WHO-ICD: World Health Organisation - International Classification of Diseases; W-list: Waiting-list.The authors declare that they have no competing interests.MD participated in the design of the study, carried out the systematic literature review, conducted any data analysis and drafted the manuscript. KG provided support in the statistical analysis and helped to draft the manuscript. LS participated in the design of the study, provided support in the statistical analysis and helped to draft the manuscript. MB conceived of the study, participated in the design of the study and helped to draft the manuscript. All authors read and approved the final manuscript.Tables. Table 1: Description of studies that have used the EQ-5D as an outcome measure in clinical and observational studies of patients with cardiovascular disease. Table 2: Summary of studies examining validity and reliability of EQ-5D in cardiovascular disease (n = 10). Table 3: Summary of EQ-5D utility scores reported in cardiovascular studies. Table 4: Canadian Cardiovascular Society (CCS) and New York Heart Association (NYHA) classification systems [ systems -95.Click here for file"}
+{"text": "The initials for author A. David Redish appear incorrectly in the Author Contributions. The correct initials are ADR. The Author Contributions should read: \"Conceived and designed the experiments: ZKN DDR. Performed the experiments: ZKN ADR. Analyzed the data: ZKN ADR. Wrote the paper: ZKN ADR.\""}
+{"text": "Although homeobox genes have been the subject of many studies, little is known about the main amino acid changes that occurred early in the evolution of genes belonging to different classes.In this study, we report a method for the fast and efficient retrieval of sequences belonging to the ANTP (HOXL and NKL) and PRD classes. Furthermore, we look for diagnostic amino acid residues that can be used to distinguish HOXL, NKL and PRD genes.The reported protein features will facilitate the robust classification of homeobox genes from newly sequenced bilaterian genomes. Nevertheless, in non-bilaterian genomes our findings must be cautiously applied. In principle, as long as a good manually curated data set is available the approach here described can be applied to non-bilaterian organisms as well. Our results help focus experimental studies onto investigating the biochemical functions of key homeodomain residues in different gene classes. Genes that belong to the homeobox family are characterized by the ability to code for a protein that contains a recognizable, although very variable, 'homeodomain', usually 60 amino acids in length ,2. Many Here, we report amino acid patterns typical of bilaterian HOXL, NKL, and PRD genes that can be used to quickly and efficiently retrieve amino acid sequences belonging to these classes and subclasses, among hundreds of other homeodomain sequences. Retrieving a given class or subclass of sequences from many animal genomes may be thus an easier task than previously thought. However, we show that these typical amino acid patterns should be cautiously used when sequences come from non-bilaterian animals.Since phylogenetic analysis was one of the primary sources of evidence used to establish the different classes and sub-classes, it is likely that most of homeobox gene classes and subclasses represent monophyletic lineages. Hence, it is conceivable that amino acid changes important for protein function in a given lineage may be revealed as fixed differences between classes and subclasses. Previous attempts have been made to classify genes within HOX families -9 but noWe have used the hand-curated data set of Holland et al. , the PROIn order to find amino acid patterns that distinguish genes from the ANTP subclasses, as well as genes from the PRD class, from genes belonging to other classes, a fast word discovery program encode this amino acid pattern. None of the human NKL genes encode this amino acid pattern.The pattern LE [AGKNR]E was buiDrosophila melanogaster AbdB, Drosophila melanogaster btn, Strigamia maritima Hox3b, Gallus gallus HMD2 (PROSITE annotation), Danio rerio HXABA (PROSITE annotation), and Salmo salar HXB2 (PROSITE annotation). These sequences do not form a closely related subgroup of sequences. For instance, the Drosophila melanogaster Abd-B and btn genes belong to two different HOXL gene families. Moreover, other genes belonging to these families do show the HOXL 1 amino acid pattern. The Fugu rubripes HXDBB (PROSITE annotation) and the Gallus gallus HXB8 (PROSITE annotation) sequences are incomplete, and thus it is not possible to determine whether they show this amino acid pattern. In addition to the 194 known HOXL genes showing the HOXL 1 pattern, 178/288 'unclassified' sequences also had this pattern .The HOXL 2 pattern is not as specific as the HOXL 1 pattern, since it is observed in about 46% of the genes belonging to the POU class and in a few NKL (0.5%) and PRD (8%) genes. All 16 PRD genes showing the HOXL 2 pattern belong to the Pax4/6 gene family, thus it is likely that this is a case of convergent evolution. The human POU homeodomains showing HOXL 2 pattern are POU1F1, POU3F1, POU3F2, POU3F3, and POU3F4. The latter four genes are closely related, although the POU1F1 gene is distantly related to those genes [^DGHMPTVWY] [^CDGKMNPQR] [FL] [^CFILPTWY] [AEFHKQRV] [ADEGKNSTW] [CHKMPQR] [FHY]P (positions 16\u201326) PRD pattern, use a negatively charged amino acid at position 27 (DE) and a less polar or non-polar amino acid (^RKDENQ) at position 30. About 80% of all animal bilaterian PRD genes follow this description.ANTP genes show the [HQ] [IV] [AKLT] (positions 44\u201346) ANTP 1 pattern. In contrast to PRD genes, ANTP genes do not use a negatively charged amino acid at position 27 (DE). Furthermore, at position 30, 99.8% of all bilaterian ANTP genes use a polar amino acid (RKDENQ). 97% of all ANTP bilaterian genes follow this description (data not shown).HOXL genes are characterized by the presence of the HOXL 1 pattern. 96% of all bilaterian HOXL genes show the [KT] [IV]WFQNRR [AMV]K [DEHKLMQWY] [KR] [KR] (positions 46\u201358) HOXL 1 pattern.NKL genes show the NKL pattern (positions 41\u201345) or a NKL derived pattern. About 98% of the bilaterian NKL genes follow this pattern. If the NKL pattern is generalized to include the derived NKL patterns then many hits are observed in other homeodomain classes (data not shown). This is why several NKL-related patterns are reported.The above definitions suggest that the region in between amino acid positions 16\u201330 and 44\u201358 are the most important for function specificity of genes belonging to different classes and sub-classes. The former region corresponds to the end of Helix 1, the inter Helix 1\u20132 region and to the first positions of Helix 2 . The regThe situation observed for NKL genes suggest that specific amino acid patterns may exist for groups of genes within major classes, as previously suggested . It alsoIt is tempting to use these features to classify homeobox containing genes. Nevertheless, given the very old age of the gene families considered, the possibility of convergent evolution must be considered when analyzing a given amino acid sequence. Therefore, for the purpose of gene classification, the features here described should not be decisive but rather used as additional evidence. It should be noted, that the reconstruction of gene genealogies is a hard problem, namely when proteins belonging to the same family share some of the same protein interaction partners, thus facing a similar selective environment . Any additional piece of evidence that may shed light on the correct classification of genes should therefore be used.In this work we report a method for the fast retrieval of bilaterian ANTP and PRD sequences. Given the availability of a sufficiently large curated data set this method can be applied to any group of proteins. Furthermore, we report some of the main amino acid changes that occurred early in the HOXL, NKL and PRD lineages. These features can be used for the classification of gene sequences, although, as shown, convergent evolution must be considered as an explanation for the presence of a given pattern in a sequence. The possibility that the region of the protein that allows distinguishing the different classes, also allows the distinction of different families within classes, has important practical and evolutionary consequences and must be explored in more detail.NAF, JV and CPV conceived the design of the study. NAF developed the software needed for the large-scale analyses, while JV and CPV collected, aligned the sequence data, and performed the phylogenetic analyses. JV drafted the manuscript. All authors participated in the results discussion and helped writing the final version of the manuscript. All authors read and approved the final manuscript.Gi numbers of the 251 non-bilaterian non-redundant sequences used for the analysis presented in Table Nematostella vectensis: 32263856; 32263873; 74039490; 74039492; 82621559; 82621587; 82621611; 82621663; 83356315; 156363224; 156363226; 156387518; 156397205Ephydatia fluviatilis: 438584Acropora millepora: 117581722; 117581724; 117581726; 117581728; Anemonia erythraea: 158936936; Ephydatia fluviatilis: 438585; 510584; Halichondria bowerbanki: 33641771; Nematostella vectensis: 32816231; 78190373; 82621509; 82621525; 82621533; 82621555; 82621557; 82621585; 82621591; 82621609; 82621625; 82621657; 82621665; 82621667; 110339021; 110339029; 110339121; 156353243; 156363798; 156367335; 156372762; 156397943; 168693291;Suberites domuncula: 34786940; 49659003; Sycon raphanus: 11066243Anthopleura japonica: 144369330; 144369363; Hydra vulgaris: 2331219; 7635735; Nematostella vectensis: 82570553; 82621543; 82621677; 110339077; 110339133; 156376845; 156402818; 156406963; 156407174Nematostella vectensis: 82621563; 82621631; 82621655; 156366927; 156402173Nematostella vectensis: 82621579; 82621647; 82621651; 110339063; 156388033; 156400908; 156407394Nematostella vectensis: 110339027Baikalospongia interm\u00e9dia: 62238212; Ephydatia fluviatilis: 1438870; Ephydatia muelleri: 3184520; Hydra vulgaris: 7635740; Nematostella vectensis: 82621517; 82621615; 82621619; 82621623; 82621635; 82621653; 156375827; 156375891; 156376334; 156401296; 156402692; Podocoryne carnea: 28188799; Potamolepis sp.: 62238208; Suberites domuncula: 49659001Anthopleura jap\u00f3nica: 144369334; Cladonema californicum: 9652040; Hydra vulgaris: 3021450; 3021452; 6503072; Nematostella vectensis: 38569883; 78190377; 82395396; 82395402; 82395404; 82395406; 82395408; 82395412; 82395414; 82570541; 82570557; 82570559; 82570563; 110339183; 110339213; 110339215; 110339225; 113120207; 156377162; 156615306;Tripedalia cystophora: 33391193Acropora formosa: 228960; Acropora millepora: 7335704; 7595811; 7595813; 13506878; 117581730; 117581732;Anthopleura jap\u00f3nica: 144369323; 144369326; 144369366; Aurelia aurita: 50841484; Cassiopea xamachana: 4894653; 4894655; 4894659; Cladonema radiatum: 47155918; 47155920; 47155922; Eleutheria dichotoma: 1147626; 91982983; 91982989; Hydra littoralis: 2102728; Hydra magnipapillata: 630481; 630482; 89242120; 144369369; 144369375; Hydra viridis: 7120; 7124; 7130; 83763566; Hydra vulgaris: 4433647; 4838455; 7635731; 7635733; 7635737; 7635742; 9945022; Hydractinia symbiolongicarpus: 2980868; 83272159; Nematostella vectensis: 5081328; 32816237; 74039494; 78190375; 82395398; 82395410; 82570519; 82570521; 82570527; 82570529; 82570537; 82570539; 82570545; 82570549; 82570555; 82570561; 82621507; 82621511; 82621513; 82621515; 82621519; 82621523; 82621527; 82621531; 82621535; 82621539; 82621541; 82621547; 82621549; 82621551; 82621565; 82621567; 82621571; 82621573; 82621575; 82621589; 82621595; 82621601; 82621603; 82621605; 82621613; 82621621; 82621627; 82621629; 82621633; 82621637; 82621643; 82621645; 82621671; 82621675; 83356317; 99030986; 110338989; 110339023; 110339061; 110339099; 110339101; 110339115; 110339171; 110339191; 110339211; 110339247; 113120203; 156356964; 156358580; 156361301; 156361303; 156364678; 156368221; 156371265; 156371439; 156372678; 156374167; 156377158; 156377160; 156377164; 156389076; 156390886; 156393340; 156395806; 156396978; 156398319; 156407912; Podocoryne carnea: 976094; 6118056; 6465862; 7649930; 9964019; 47155914; 62002543; Sarsia sp.: 9988771; Scolionema suvaense: 158936914; Suberites domuncula: 49659005; Trichoplax adhaerens: 38565482"}
+{"text": "The Open Rheumatology Journal,\u00a02018, 12: 1-10The type of Article has been revised as follows:Review ArticleThe type of article originally provided was:Research ArticleThe revised headings of declarations are mentioned below:CONSENT FOR PUBLICATION:Not applicable.The original headings of declarations provided were:ETHICS APPROVAL AND CONSENT TO PARTICIPATENot applicable.HUMAN AND ANIMAL RIGHTSNo Animals/Humans were used for studies that are base of this research."}
+{"text": "Correction to: Trials (2017) 18:22https://doi.org/10.1186/s13063-017-1906-7In the original publication Figures There were some minor typographical errors on pages 2 and 4 and in the backmatter.Page 2 should have read: \u2018There is a clear knowledge gap with regard to effective strategies aimed at recruiters\u2019 ([The backmatter: Trial status: The first recruitment review took place in September 2015, and the last review in August 2016. The first 6-month follow-up took place in March 2016, with the last one in February 2017.\u2019Incorrect name tagging:Last Name: SalmanFirst Name: Rustam Al-ShahiCorrect author name tagging:Last Name: Al-Shahi SalmanFirst Name: RustamFollowing publication of the first correction article , we have"}
+{"text": "Nature Communications8: Article number: 14475; DOI: 10.1038/ncomms14475 (2017); Published: 02152017, Updated: 06252018The original HTML version of this Article omitted the article number; it should have been \u201814475\u2019. This has now been corrected in the HTML version of the Article. The PDF version was correct from the time of publication."}
+{"text": "Retirement preparation program: evaluation of resultsPsychology: Research and ReviewIncorrect version:Retirement preparation program: evaluation of resultsIt should read:The original publication (Psicologia: Reflex\u00e3o e Cr\u00edticaPsychology: Research and Review,"}
+{"text": "This article has been corrected: The correct Grant Support information is given below:GRANT SUPPORTThis work was funded by National Natural Science Foundation of China grant 81472606, Chinese Ministry of Science and Technology grant (973 grant) 2011CB812401, and the Beijing Municipal Government.https://doi.org/10.18632/oncotarget.6461Original article: Oncotarget. 2016; 7:3884-3896."}
+{"text": "This article has been corrected: The correct Acknowledgments information is given below:ACKNOWLEDGMENTSThe authors thank Tamar Ziv and Arie Admon for the proteomic analysis. The authors also thank Antonella Di Pizio and Masha Y. Niv for performing the structural analysis on predicted NF1 cleavage sites. The authors also thank The De Botton Protein Profiling institute of the Nancy and Stephen Grand Israel National Center for Personalized Medicine, Weizmann Institute of Science for identifying the proteolytic product of NF1. The work was supported by Minerva Foundation Grant.https://doi.org/10.18632/oncotarget.25805Original article: Oncotarget. 2018; 9:31264-31277."}
+{"text": "Nature Communications8: Article number: 14907; DOI: 10.1038/ncomms14907 (2017); Published: 04072017; Updated: 05252018The original version of this Article contained an error in the spelling of the author Aysegul Gezer, which was incorrectly given as Aysegul Geyser. This has now been corrected in both the PDF and HTML versions of the Article."}
+{"text": "AbstractHierodulapatellifera occurs several Mediterranean countries, such as Italy. These arrivals could come from many factors: new pets or commercial human transport.Originally from Asia, Hierodulapatellifera is here reported for the first time in France. A well settled and probably widespread population of this species is here discussed as its adaptability to the Mediterranean climate. Some considerations on the potential impacts on the local ecosystems and its future spreading in Europe as an invasive species are given.The presence of Hierodulatenuidentata Saussure, 1869 in Italy, in the Po valley . Amongst these groups, insects are widely represented. In parallel, entomologists use, since 1999, the forum hosted on insecte.org to discuss their sigthings and upload them into a gallery of photographs where they are validated by the community. A third widely-used website for Citizen-Science is inaturalist.org. This website, which is also available as a mobile application, has been used to collect collateral information and monitor the presence of o valley .Mantodea male, located in Marseille, was put online with the app INPN Esp\u00e8ces and its identity discussed within the community. Sightings of alien Mantodea were then also highlighted on the forum insecte.org. The results of this research are presented here, highlighting the presence of a new Asian mantid species for France since at least 2013: Hierodulapatellifera .On 1 September 2019, a photo of a In addition, several species of mantids seem to invade Europe from Caucasus and AsiaRecently, Citizen Science in France relies heavily on the application INPN Esp\u00e8ces. The sightings of insects are based on the website insecte.org and the World\u2019s fauna and flora observations are organised on the online database inaturalist.org.These three methods of publishing sightings in France are presented here:INPN Esp\u00e8cesA genuine tool for raising awareness and knowledge, building on the French biodiversity, INPN Esp\u00e8ces allows everyone to discover, from their mobile phone, the diversity of the species around us and to participate in the biodiversity inventory in France. It is the only app in France that allows us to investigate all the French Fauna and Flora species (mainland and overseas) through their characteristics, distribution or conservation status. Thanks to a data entry eased by images and geolocalisation from one\u2019s mobile, anyone can, with one click, improve the knowledge on the surrounding wildlife.To take part in the country\u2019s species surveying by transmitting our records to experts, only a few clicks are needed to share the sightings. The first identification by the observer is then checked by experts of each group involved in the project.insecte.org (\u2018Le Monde des insectes\u2019)This website is a gathering places for all insect lovers, whatever their level of knowledge, their approaches and their objectives. A discussion forum is organised according to the different orders of insects. When images in a post are validated collectively, the photos are placed in a gallery that serves as a reference library. Once a year, data are sent to the French national species inventory (INPN).inaturalist.orgOne of the world\u2019s most popular online wildlife databases, iNaturalist helps everyone identify the plants and animals around us. It allows connection to a community of over 750,000 scientists and naturalists who can help us learn more about nature. Moreover, by recording and sharing our sightings, people will create research quality data for scientists who are working to better understand and protect nature. iNaturalist is a joint initiative by the California Academy of Sciences and the National Geographic Society.Mantodea used here follow the latest update was published, from the 9th district of Marseille , one with a juvenile at Arles and, finally, one with a female travelling on a boat in the Black Sea.In parallel, research was initiated on the forum of the website insecte.org, as well as on inaturalist.org. Alien Specimens from Mouri\u00e8s:Mantodea was observed in an olive grove. It was compared with a female Irisoratoria on a photo published on insecte.org. During the many exchanges between naturalists, its identity was discussed between Sphodromantisviridis and Hierodulatranscaucasica Brunner von Wattenwyl, 1878. On 28 September 2015, a new Mantodea female was discovered in the same locality. It seemed to be the same species. It was kept and put in breeding to observe an ootheca and to photograph it. It had been stated that the specimens observed were Hierodulatranscaucasica. The different people involved in the discussion were contacted. Detailed photographs were taken of the second captured female. The exact location of the captures was also noted. Oothecae and an old female were observed on olive trees in early November 2019 . It turns out that it was a female. Its identity was not fixed at the end of the discussions.On 27 July 2019, a nymph Specimen on the Black Sea:M.religiosa. Discussions then orientated for the identification towards H.transcaucasica. A synonymy with Hierodulatenuidentata Saussure, 1869, is suggested on the basis of recent references.On 22 September 2011, an adult female was photographed on a boat on the Black Sea. It was first mistakenly identified as Specimen from Marseille:H.patellifera. It was compared with a male of H.tenuidentata from the Greek island of Skopelos. Some morphological criteria, such as yellowish callous spots of the anterior coxae, are characteristic and can be observed on the photographed specimens. After examining the photographs of females from Mouri\u00e8s and the nymph (then adult) from Arles, it is possible to identify them as H.patellifera.The male from Marseille was studied morphologically. It is H.tenuidentata.On the other hand, the morphological criteria of the female on the boat on the Black Sea and its geographical location indicate that it is Serville, 18394A66F50F-FA2C-5B96-BDB4-D5106A1E3CF2Type status:Other material. Occurrence: recordedBy: Mattias Perez; individualCount: 1; sex: female; lifeStage: adult; Location: continent: Europe; country: France; stateProvince: Bouches-du-Rhone; county: Mouries; verbatimElevation: 30 m; verbatimLatitude: 43.69858; verbatimLongitude: 4.85217; verbatimCoordinateSystem: decimal degrees; Identification: identifiedBy: Nicolas Moulin; Event: samplingProtocol: hand catching; eventDate: 2013-11-03; eventRemarks: on oliveType status:Other material. Occurrence: recordedBy: Mattias Perez; individualCount: 1; sex: female; lifeStage: adult; Location: continent: Europe; country: France; stateProvince: Bouches-du-Rhone; county: Mouries; verbatimElevation: 30 m; verbatimLatitude: 43.69858; verbatimLongitude: 4.85217; verbatimCoordinateSystem: decimal degrees; Identification: identifiedBy: Nicolas Moulin; Event: samplingProtocol: hand catching; eventDate: 2015-09-28; eventRemarks: on oliveType status:Other material. Occurrence: recordedBy: Gauillaume Paulus; individualCount: 1; sex: female; lifeStage: nymph; Location: continent: Europe; country: France; stateProvince: Bouches-du-Rhone; county: Arles; verbatimElevation: 5 m; verbatimLatitude: 43.673112; verbatimLongitude: 4.633544; verbatimCoordinateSystem: decimal degrees; Identification: identifiedBy: Nicolas Moulin; Event: samplingProtocol: hand catching; eventDate: 2019-07-26; eventRemarks: in a gardenType status:Other material. Occurrence: recordedBy: Didier Aurelle; individualCount: 1; sex: male; lifeStage: adult; Location: continent: Europe; country: France; stateProvince: Bouches-du-Rhone; county: Marseille; verbatimElevation: 45 m; verbatimLatitude: 43.2565769; verbatimLongitude: 5.4097269; verbatimCoordinateSystem: decimal degrees; Identification: identifiedBy: Nicolas Moulin; Event: samplingProtocol: hand catching; eventDate: 2019-09-01; eventRemarks: on a balcony, 6th floorHierodulapatellifera, described from Java will be updated with all these observations.Hierodulapatellifera occurs in a French department, Bouches-du-Rh\u00f4ne, on the basis of these records. The arrival would be prior to 2013. Several generations and a nymph have been observed. The first individuals could have arrived by Cargo from Asia or could have been voluntarily released, because it is a commonly reared pet. This would not be a continuation of colonisation with the known populations of H.tenuidentata in Northern Italy, in the Po Valley . The hypothesis of displacement by boat is valid because, a few years ago, a female specimen of H.tenuidentata was observed aboard a ship on the Black Sea. Its place of arrival in the boat could not really be located between Ukraine, Turkey, Romania, Bulgaria, Albania and the Danube Estuary. It is, however, well known that this species occurs in these countries and is represented by one species: Sphodromantisviridis (Finally, the species of viridis .Mantodea must be in charge to identify them.Today, thanks to citizen science, it is important and possible to monitor such invasive alien species. However, the problem of the specific attribution of these specimens through photos is important. Then, some specialists of Vespavelutina (These invasive species could destabilise existing ecological niches by creating competition and ecological pressure, like the Asian Hornet, velutina . At the"}
+{"text": "Correction to: BMC Genomics (2019) 20:389DOI: 10.1186/s12864-019-5782-2Following the publication of this article , the autIn this Correction article the incorrect and correct author name are shown. The original publication of this article has been corrected.Rona DoyleOriginally the author name was published as:Ronan DoyleThe correct author name is:The publisher apologizes to the authors and readers for any inconvenience caused by this error."}
+{"text": "Objectives: To analyze how older adults conceptualize these intergenerational relationships. Methods: In this qualitative study, in-depth interviews were carried out with 316 older adults, aged 65-102, from three different nationalities who lived at home. Verbatim transcripts were examined. Results: Data analysis generated six themes representing intergenerational relationships: affection and reward; interest and integration; grandparent-grandchild interaction quality; privacy and boundaries definition; provision of support; and obligation of providing childcare, on two dimensions of ambivalence concerning their intergenerational relationships . Conclusions: The empirical findings from this research indicate how ambivalence in intergenerational relationships is experienced by older adults and stress the contradictory expectations of older adults with grandchildren. Keywords: Ambivalence; conflict; intergenerational relationships; older adults; support."}
+{"text": "AbstractClavicornaltica is a genus of very small flea beetles living in the leaf litter layer of Asian forests, easily sampled with Winkler extraction. The genus is presumably very rich in species, but their taxonomy is hampered by their small size and morphological uniformity.Clavicornalticabelalongensis n. sp., was discovered and taxonomically treated by the course participants. We also present the first DNA barcodes for the genus.On a \u2018taxon expedition\u2019-style field course at Kuala Belalong Field Studies Centre in Brunei Darussalam (Borneo), a new species, We expect this concept may (i) improve the public appreciation for taxonomy and (ii) yield valid taxonomic output , discovered during the same field course, will appear elsewhere .In this paper, we provide partial results from a taxon expedition to the Ulu Temburong rainforest in Brunei, namely the taxonomic treatment of a new species of the leaf litter chrysomelid Callophylum sp., Dacroydes sp., and Horsfieldia sp., 70-80% canopy coverage, few vines, several decaying logs, and a distinct Dicuspiditermes termite presence.We worked in the vicinity of the Kuala Belalong Field Studies Centre (KBFSC) in the Ulu Temburong National Park in the Temburong district of Brunei. We collected specimens at the start of the \u2018Ashton Trail\u2019 just west of KBFSC, adjacent to the \u2018Earthwatch Plot\u2019 . The areClavicornaltica specimens removed. Our Winkler sampling yielded 12 specimens of Clavicornaltica which we provisionally assigned to four morphospecies, of which one was represented by sufficient individuals to warrant taxonomic description.On 27.09.2018 and 1.10.2018, we carried out the following field workshop. Field course participants collected leaf litter from two microhabitats, sampled separately (~75 l each): (i) open forest floor and (ii) the area between buttress roots. Leaf litter was then passed through a 1-cm mesh-width beetle sieve and subsequently extracted in a Winkler apparatus, the yield of which was preserved in 96% ethanol. This was then sorted under a dissection microscope and all Morphological examinations were carried out in the field lab with a Nikon SMZ445 dissection microscope with 10\u00d7 eye pieces (magnification up to 35\u00d7), a Leica ICC50 HD compound microscope and basic dissection materials. Photographs were made either with a smartphone through the eyepiece of a microscope or on a translucent white acrylic sheet with a Nikon D800e fitted with a Laowa 25 mm ultra-macro lens . Images were processed in Adobe Lightroom and subsequently stacked in Adobe Photoshop CS6. Genitalia and other dissected parts were embedded in polyvinylpyrrolidone . Lengthswww.boldsystems.com).One individual (TxExBr0004w-1) was analysed genetically as follows. DNA was isolated from a sample of abdominal soft tissue using the DNeasy Blood & Tissue Kit (Qiagen) and the extracted DNA was then purified with AMPureXP beads (Beckman Coulter). Around 10 ng of DNA were used in a PCR to generate amplicons for the COI barcoding region, using general primers ; institutionID: UBD; institutionCode: IBER-UBD; collectionCode: Zoology; basisOfRecord: PreservedSpecimenType status:Paratype. Occurrence: recordedBy: Taxon Expeditions field course participants; individualID: TxExBr0004w-2; individualCount: 1; sex: female; lifeStage: adult; preparations: card-mounted; disposition: in collection; Taxon: scientificName: Clavicornalticabelalongensis; kingdom: Animalia; phylum: Arthropoda; class: Hexapoda; order: Coleoptera; family: Chrysomelidae; genus: Clavicornaltica; specificEpithet: belalongensis; taxonRank: species; scientificNameAuthorship: Schilthuizen et al., 2019; nomenclaturalCode: ICZN; Location: locationID: TxExBr0004w; continent: Asia; island: Borneo; country: Brunei Darussalam; stateProvince: Temburong; locality: Kuala Belalong Field Studies Centre; verbatimLocality: Kuala Belalong Field Studies Centre, along Ashton trail; verbatimElevation: 120 m; verbatimLatitude: 4.5472; verbatimLongitude: 115.1571; Event: samplingProtocol: Winkler sampling; samplingEffort: 150 l of forest leaf litter; eventDate: 2018-09-27; habitat: Lowland dipterocarp forest; Record Level: type: PhysicalObject; bibliographicCitation: Clavicornalticabelalongensis (UBDM.3.01172); institutionID: UBD; institutionCode: IBER-UBD; collectionCode: Zoology; basisOfRecord: PreservedSpecimenType status:Paratype. Occurrence: recordedBy: Taxon Expeditions field course participants; individualID: TxExBr0014w-3; individualCount: 1; sex: female; lifeStage: adult; preparations: card-mounted; disposition: in collection; Taxon: scientificName: Clavicornalticabelalongensis; kingdom: Animalia; phylum: Arthropoda; class: Hexapoda; order: Coleoptera; family: Chrysomelidae; genus: Clavicornaltica; specificEpithet: belalongensis; taxonRank: species; scientificNameAuthorship: Schilthuizen et al., 2019; nomenclaturalCode: ICZN; Location: locationID: TxExBr0014w-3; continent: Asia; island: Borneo; country: Brunei Darussalam; stateProvince: Temburong; locality: Kuala Belalong Field Studies Centre; verbatimLocality: Kuala Belalong Field Studies Centre, along Ashton trail; verbatimElevation: 120 m; decimalLatitude: 4.5472; decimalLongitude: 115.1571; Event: samplingProtocol: Winkler sampling; samplingEffort: 150 l of forest leaf litter; eventDate: 2018-09-27; habitat: Lowland dipterocarp forest; Record Level: type: PhysicalObject; bibliographicCitation: Clavicornalticabelalongensis (UBDM.3.01173); institutionID: UBD; institutionCode: IBER-UBD; collectionCode: Zoology; basisOfRecord: PreservedSpecimenType status:Paratype. Occurrence: recordedBy: Taxon Expeditions field course participants; individualID: TxExBr0004w-4; individualCount: 1; sex: female; lifeStage: adult; preparations: card-mounted; disposition: in collection; Taxon: scientificName: Clavicornalticabelalongensis; kingdom: Animalia; phylum: Arthropoda; class: Hexapoda; order: Coleoptera; family: Chrysomelidae; genus: Clavicornaltica; specificEpithet: belalongensis; taxonRank: species; scientificNameAuthorship: Schilthuizen et al., 2019; nomenclaturalCode: ICZN; Location: locationID: TxExBr0004w; continent: Asia; island: Borneo; country: Brunei Darussalam; stateProvince: Temburong; locality: Kuala Belalong Field Studies Centre; verbatimLocality: Kuala Belalong Field Studies Centre, along Ashton trail; verbatimElevation: 120 m; decimalLatitude: 4.5472; decimalLongitude: 115.1571; Event: samplingProtocol: Winkler sampling; samplingEffort: 150 l of forest leaf litter; eventDate: 2018-09-27; habitat: Lowland dipterocarp forest; Record Level: type: PhysicalObject; bibliographicCitation: Clavicornalticabelalongensis (UBDM.3.01174); institutionID: UBD; institutionCode: IBER-UBD; collectionCode: Zoology; basisOfRecord: PreservedSpecimenType status:Paratype. Occurrence: recordedBy: Taxon Expeditions field course participants; individualID: TxExBr0004w-5; individualCount: 1; sex: female; lifeStage: adult; preparations: card-mounted; disposition: in collection; Taxon: scientificName: Clavicornalticabelalongensis; kingdom: Animalia; phylum: Arthropoda; class: Hexapoda; order: Coleoptera; family: Chrysomelidae; genus: Clavicornaltica; specificEpithet: belalongensis; taxonRank: species; scientificNameAuthorship: Schilthuizen et al., 2019; nomenclaturalCode: ICZN; Location: locationID: TxExBr0004w; continent: Asia; island: Borneo; country: Brunei Darussalam; stateProvince: Temburong; locality: Kuala Belalong Field Studies Centre; verbatimLocality: Kuala Belalong Field Studies Centre, along Ashton trail; verbatimElevation: 120 m; decimalLatitude: 4.5472; decimalLongitude: 115.157; Event: samplingProtocol: Winkler sampling; samplingEffort: 150 l of forest leaf litter; eventDate: 2018-09-27; habitat: Lowland dipterocarp forest; Record Level: type: PhysicalObject; bibliographicCitation: Clavicornalticabelalongensis (UBDM.3.01176); institutionID: UBD; institutionCode: IBER-UBD; collectionCode: Zoology; basisOfRecord: PreservedSpecimenType status:Paratype. Occurrence: recordedBy: Taxon Expeditions field course participants; individualID: TxExBr0004w-8; individualCount: 1; sex: female; lifeStage: adult; preparations: card-mounted; disposition: in collection; Taxon: scientificName: Clavicornalticabelalongensis; kingdom: Animalia; phylum: Arthropoda; class: Hexapoda; order: Coleoptera; family: Chrysomelidae; genus: Clavicornaltica; specificEpithet: belalongensis; taxonRank: species; scientificNameAuthorship: Schilthuizen et al., 2019; nomenclaturalCode: ICZN; Location: locationID: TxExBr0004w; continent: Asia; island: Borneo; country: Brunei Darussalam; stateProvince: Temburong; locality: Kuala Belalong Field Studies Centre; verbatimLocality: Kuala Belalong Field Studies Centre, along Ashton trail; verbatimElevation: 120 m; decimalLatitude: 4.5472; decimalLongitude: 115.1571; Event: samplingProtocol: Winkler sampling; samplingEffort: 150 l of forest leaf litter; eventDate: 2018-10-01; habitat: Lowland dipterocarp forest; Record Level: type: PhysicalObject; bibliographicCitation: Clavicornalticabelalongensis (UBDM.3.01175); institutionID: UBD; institutionCode: IBER-UBD; collectionCode: Zoology; basisOfRecord: PreservedSpecimenBody orange-red, small, nearly hemispherical, 1.15-1.30 mm long and 0.9-1.1 mm wide (i.e. ca. 1.25 times as long as wide) , densely beset with confluent double punctuation; tubercles and midfrontal sulcus poorly developed and inconspicuous. Eyes convex, each eye consisting of 26-30 ommatidia, ca. 1/5 the width of the head measured across the eyes in dorsal view. Antennae: clava long and moderately robust.Pronotum: Very weakly shagreened and punctuated; punctures sparse and minute, of similar strength to the subordinate punctuation on the elytra; pronotal surface therefore shiny. Lateral margin with a callosity that stretches from the anterior to the posterior corner. Lateral setiferous pore at 2/3 of the length of the margin, seta as long as the clava of the antenna, pore removed from the margin by a distance similar to the width of antennomere II. Posterior setiferous pore placed directly at the margin, the seta length similar to antennomeres IX+X.Hind wings: Absent.Elytra: Shiny, punctate in 9 longitudinal rows, scutellar row \u00bc the length of the other rows, consisting of ca. 6 punctures. Punctures in all rows deeply impressed along their entire length (puncture width is similar to their interspaces). In between, the major punctures are irregularly scattered and there are much smaller subordinate punctures. A rudiment of a 10th row exists in the final 1/3 flanking the elytral margin. A fine groove runs along the entire margin continuing to the apex; apex itself slightly drawn out. The internal edge of epipleura carries a short row of punctures, alongside the 4th and 5th visible sternite.Legs: Tibia and tarsus orange, femur dark orange and robust. Metafemur robust, oval, covered in reticulate microsculpture. External edge of metatibia bearing two parallel rows of 8-10 minute stiff setae placed along the terminal one-fifth and flanking the basis of metatarsomere I. Internal side of metatibia bearing ca. 10 thin setae that are placed along the terminal half of the tibia and increase to about 2.5\u00d7 the length of the external setae, then decrease in length towards the apex. The metatibia carries a long terminal spine of about the same length as metatarsomere I. No serrations or microteeth are visible on the spine.Mesosternum: Processus rounded, with a distinct margin, central area somewhat convex.Abdomen: Carina on the first visible abdominal sternite sharp and narrow, not broadened anteriorly or posteriorly, running along the length of the sternite. In reduced form, this carina is carried on to the four posterior sternites, which therefore, in lateral view, offer a slightly serrated aspect. The surface of the sternites carries a rough microsculpture of confluent punctures. Tergum IX (last visible tergite) with three longitudinal median ridges, the central one of which is much weaker than the two outermost. Subapically, tergum IX has a horizontal row of 8 serrations.Female genitalia: Spermatheca consisting of a pear-shaped receptacle, ca. 90 \u00b5m in length, with crosswise annulations Clavicornalticabelalongensis sp. n. differs from all other known Clavicornaltica are (i) the pear-shaped spermathecal receptacle that is distinctly separated from the pump and (ii) the medially keeled abdominal sternites. Furthermore, the new species can be separated from other oriental Clavicornaltica in the following respects: C.fortepunctata Scherer, 1974 (Vietnam) is more elongate is black, the pronotum is impunctate and it is also much larger (1.9 mm) have impunctate elytra is larger (>1.5 mm) is reddish-black and the elytral punctuation is reduced has a widened first protarsomere and an anteriorly widened carina on the 1st abdominal segment has a wide plate on the underside of the 1st abdominal sternite; Clavicornalticatrautneri Medvedev, 1993 is much larger (2.1 mm) has a posteriorly narrowed pronotum has an anteriorly widened carina on the 1st abdominal segment has the spermathecal pump fused with the receptacle and a widened carina on the first abdominal segment has the spermathecal pump fused with the receptacle has the mesosternal processus flat, not convex has the spermathecal pump wider than the receptacle has vaginal palpi very short and the spermathecal pump wider than the receptacle is 1.6 times as long as wide and has the carina on the 1st abdominal sternite widened posteriorly is larger and more elongate; its head is not shagreened has a spherical spermathecal receptacle, the carina on the 1st abdominal sternite is widened anteriorly and is flanked by rows of strong punctures, the metafemur is more elongated and the vaginal palpi are diverging, not parallel has a much more elongate habitus has impunctate elytra and a black body ; Clavicoe elytra ; Clavico>1.5 mm) ; Clavico reduced ; Clavico segment ; Clavico(2.1 mm) ; Clavicopronotum ; Clavico segment ; Clavico segment ; Clavicoceptacle ; Clavicot convex ; Clavicoceptacle ; Clavicoceptacle ; Clavicoteriorly ; Clavicoagreened ; Clavicoparallel ; Clavico habitus ; finallyack body .Clavicornalticabelalongensis Schilthuizen et al., 2019, provided the full citation of this publication appears in the bibliography or elsewhere in the referring work.The species is named after the Belalong river; the new species was recorded in the close vicinity of the river\u2019s left bank. Following Article 51C of the Code , the speKnown only from a location near the confluence of the Belalong and Temburong rivers, at 120 m elevation . However, as pointed out by Clavicornaltica, which currently stands at 26 species, has barely scratched the surface of the true diversity. Given the morphological inaccessibility of this diversity, we expect DNA barcoding to be of some use. We hope the sequence we present here for C.belalongensis will be a starting point for further building up a database of DNA barcodes for this genus.These and previous results (ors e.g. , the speors e.g. suggesteDespite the present single-species description based on limited material from a single locality, we believe that taxonomic work is best carried out in the context of larger revisions. However, we think that concise treatments of single species such as we present here, have value . As reso"}
+{"text": "Nature Communications8:15223 doi: ; DOI: 10.1038/ncomms15223 (2017); Published 05122017; Updated 05252018The originally published version of this Article contained an error in Fig. 1. In panel d, the uppermost western blot was inadvertently inverted during typesetting of the figure. This has now been corrected in both the PDF and HTML versions of the Article."}
+{"text": "Reproducibility, or a lack thereof, is an increasingly important topic across many research fields. A key aspect of reproducibility is accurate reporting of both experiments and the resulting data. Herein, we propose a reporting guideline for mass spectrometry imaging (MSI). Previous standards have laid out guidelines sufficient to guarantee a certain quality of reporting; however, they set a high bar and as a consequence can be exhaustive and broad, thus limiting uptake.To help address this lack of uptake, we propose a reporting supplement\u2014Minimum Information About a Mass Spectrometry Imaging Experiment (MIAMSIE)\u2014and its abbreviated reporting standard version, MSIcheck. MIAMSIE is intended to improve author-driven reporting. It is intentionally not exhaustive, but is rather designed for extensibility and could therefore eventually become analogous to existing standards that aim to guarantee reporting quality. Conversely, its abbreviated form MSIcheck is intended as a diagnostic tool focused on key aspects in MSI reporting.We discuss how existing standards influenced MIAMSIE/MSIcheck and how these new approaches could positively impact reporting quality, followed by test implementation of both standards to demonstrate their use. For MIAMSIE, we report on author reviews of four articles and a dataset. For MSIcheck, we show a snapshot review of a one-month subset of the MSI literature that indicated issues with data provision and the reporting of both data analysis steps and calibration settings for MS systems. Although our contribution is MSI specific, we believe the underlying approach could be considered as a general strategy for improving scientific reporting. N-glycans : \u201c2017/6/1\u201d[Date\u2014Publication])) AND maldi AND imaging\u201d on the 3rd of July 2017Additional File S8. R script required for plotting of MSIcheck review resultsDCI: data citation index; DOI: digital object identifier; EMBL: European Molecular Biology Laboratory; FTMS: Fourier Transform Mass Spectrometry; GUI: graphical user interface; LDI: laser desorption/ionization; MALDI: matrix-assisted laser desorption/ionization; MIAMSIE: Minimum Information About a Mass Spectrometry Imaging Experiment; MIAPE: Minimum Information About a Proteomics Experiment; MIRAGE: Minimum Information Required for a Glycomics Experiment; MS: mass spectrometry; MSI: mass spectrometry imaging; MSIS: Mass Spectrometry Imaging Society; SIMS: secondary ion mass spectrometry.The authors declare that they have no competing interests.O.J.R.G.'s position was funded by the Australian Research Council (ARC) Centre of Excellence for Convergent Bio-Nano Science & Technology . L.J.W.'s position was funded through Bioplatforms Australia . E.A.B.U. was funded by the ARC (DE160101142).Supplemental FileClick here for additional data file."}
+{"text": "Nature Communications8: Article number: 14479; DOI: 10.1038/ncomms14479 (2017); Published: 02152017; Updated: 06252018The original HTML version of this Article omitted the article number; it should have been \u201814479\u2019. This has now been corrected in the HTML version of the Article. The PDF version was correct from the time of publication."}
+{"text": "This article has been corrected: The correct Acknowledgment information is given below:ACKNOWLEDGMENTThis work was funded by National Natural Science Foundation of China grant 81472606, Chinese Ministry of Science and Technology grant (973 grant) 2011CB812401, and the Beijing Municipal Government.https://doi.org/10.18632/oncotarget.6491Original article: Oncotarget. 2016; 7:3367-3378."}
+{"text": "AbstractPolycentropusierapetraslovenica has been considered a narrow range endemic of Slovenia and surrounding areas. Rhyacophilaaurata, a species known from many parts of Europe, according to the current knowledge, is absent from a large part of the Balkan Peninsula.The knowledge about distribution, ecology and species composition of caddisflies of the Balkan Peninsula is still not complete. The ongoing investigations of the last years highlight this area as an important hotspot of caddisfly diversity. Trichoptera from the Republic of Kosovo with exact distribution data, based on sampling carried out randomly during 2014 and 2017. Polycentropusierapetraslovenica was found in several streams in Bjeshk\u00ebt e Nemuna Mountains and Karadak Mountains. Rhyacophilaaurata was found during this investigation at a single locality in Bjeshk\u00ebt e Nemuna Mountains.In this paper, we present records of these two rare taxa of The unexpected finding of these two taxa in Kosovo greatly enlarges their known distribution area and makes a contribution towards the better knowledge of distributional patterns of these rare taxa of caddisflies in this part of Europe. The knowledge about distribution, ecology and species composition of caddisflies in the Balkan Peninsula is still not complete. The recent and ongoing investigations in this area e.g. make posUntil recently, there were only few registered records of caddisfly species in Kosovo, but the list has significantly increased during the past decade, with several new species being described e.g. . HoweverThe main goal of this study was to contribute to the list of caddisfly taxa in the Republic of Kosovo and improve the knowledge about geographic distribution of rare taxa of caddisflies in the Balkan Peninsula, to assist in proper conservation of freshwater ecosystems.Sampling was carried out occasionally during 2014 and 2017 at six sampling stations, three of them being located in Bjeshk\u00ebt e Nemuna and the other three in Karadak Mountains in the Republic of Kosovo Table were plaMalicky, 1998F78BD300-7078-52F6-A6D0-77ECB1B42750https://www.gbif.org/species/6262227Type status:Other material. Occurrence: recordedBy: Halil Ibrahimi, Ruzhdi Ku\u00e7i, Astrit Bilalli, Milaim Musliu; individualCount: 5; sex: males; Location: higherGeography: Europe; waterBody: tributary of Lepenc River, Aegean Sea Basi; country: Kosovo; municipality: Hani i Elezit; locality: D\u00ebrmjak; verbatimLocality: streamlet above the village, towards the border with the Republic of North Macedonia; decimalLatitude: 42.17264; decimalLongitude: 21.31582; Event: samplingProtocol: UV light trap; samplingEffort: overnight; year: 2017; month: 6; day: 12; fieldNotes: collected with ultraviolet light over the white pan operating from dusk until the next morning; Record Level: institutionCode: University of Prishtina \"Hasan Prishtina\", Faculty of Mathematics and Natural Sciences, Department of Biology; collectionCode: caddisflies of KaradakType status:Other material. Occurrence: recordedBy: Halil Ibrahimi, Ruzhdi Ku\u00e7i, Astrit Bilalli, Milaim Musliu; individualCount: 5; sex: males; Location: higherGeography: Europe; waterBody: tributary of Morava e Bin\u00e7\u00ebs River, Black Sea basin; country: Kosovo; municipality: Gjilan; locality: Zheg\u00ebr village; verbatimLocality: streamlet above the village; decimalLatitude: 42.31572; decimalLongitude: 21.53148; Event: samplingProtocol: UV light trap; samplingEffort: overnight; year: 2017; month: 7; day: 14; fieldNotes: collected with ultraviolet light over the white pan operating from dusk until the next morning; Record Level: institutionCode: University of Prishtina \"Hasan Prishtina\", Faculty of Mathematics and Natural Sciences, Department of Biology; collectionCode: caddisflies of KaradakType status:Other material. Occurrence: recordedBy: Halil Ibrahimi, Ruzhdi Ku\u00e7i, Astrit Bilalli, Milaim Musliu; individualCount: 5; sex: males; Location: higherGeography: Europe; waterBody: tributary of Morava e Bin\u00e7\u00ebs River, Black Sea Basin; country: Kosovo; municipality: Viti; locality: Letinic\u00eb; verbatimLocality: stream above the village; decimalLatitude: 42.28727; decimalLongitude: 21.45736; Event: samplingProtocol: UV light trap; samplingEffort: overnight; year: 2017; month: 7; day: 20; fieldNotes: collected with ultraviolet light over the white pan operating from dusk until the next morning; Record Level: institutionCode: University of Prishtina \"Hasan Prishtina\", Faculty of Mathematics and Natural Sciences, Department of Biology; collectionCode: caddisflies of KaradakType status:Other material. Occurrence: recordedBy: Halil Ibrahimi, Arben Gashi, Besnik Em\u00ebrllahu, Naman Sinani; individualCount: 4; sex: males; lifeStage: adult; Location: higherGeography: Europe; waterBody: tributary of Lumbardhi i Pej\u00ebs River, Adriatic Sea basin; country: Kosovo; municipality: Pej\u00eb; locality: Drelaj; verbatimLocality: stream above the village; decimalLatitude: 42.706667; decimalLongitude: 21.18056; Event: samplingProtocol: UV light trap; samplingEffort: overnight; year: 2014; month: 7; day: 14; fieldNotes: collected with ultraviolet light over the white pan operating from dusk until the next morning; Record Level: institutionCode: University of Prishtina \"Hasan Prishtina\", Faculty of Mathematics and Natural Sciences, Department of Biology; collectionCode: caddisflies of Bjeshk\u00ebt e NemunaType status:Other material. Occurrence: recordedBy: Halil Ibrahimi, Arben Gashi, Besnik Em\u00ebrllahu, Naman Sinani; individualCount: 3; sex: males; lifeStage: adult; Location: higherGeography: Europe; waterBody: tributary of Lumbardhi i Pej\u00ebs River, Adriatic Sea basin; country: Kosovo; municipality: Pej\u00eb; locality: Pepaj; verbatimLocality: stream above the village; decimalLatitude: 42.700278; decimalLongitude: 20.143889; Event: samplingProtocol: UV light trap; samplingEffort: overnight; year: 2014; month: 9; day: 17; fieldNotes: collected with ultraviolet light over the white pan operating from dusk until the next morning; Record Level: institutionCode: University of Prishtina \"Hasan Prishtina\", Faculty of Mathematics and Natural Sciences, Department of Biology; collectionCode: caddisflies of Bjeshk\u00ebt e NemunaSlovenia, Italy, Bosnia and Herzegovina and Kosovo .We found that the flight period of this subspecies is from May to September. The subspecies is present at different altitudes, from 620 m up to 1307 m.slovenica subspecies clearly point to the bspecies .Polycentropusierapetraslovenica in D\u00ebrmjak on 12.06.2017 are: Rhyacophilafasciata Hagen, 1859 , Rhyacophilaloxias Schmid, 1970 , Rhyacophilapolonica McLachlan, 1879 , , Rhyacophilatristis Pictet, 1834 , , Glossosomaconformis Neboiss, 1963 , Synagapetusiridipennis McLachlan, 1879 ; Philopotamusmontanus , Plectrocnemiaconspersa , Polycentropusexcicus Klap\u00e1lek 1894 , Polycentropusflavomaculatus , Psychomyiaklapaleki Malicky, 1995 , Psychomyiapusilla , Lypereducta , Tinodesrostocki McLachlan, 1878 , Tinodesunicolor , Potamophylaxluctuosus , Silograellsii Pictet, 1865 and Oecismusmonedula .Other species associated with Polycentropusierapetraslovenica in Zheg\u00ebr on 14.07.2017 are: Rhyacophilafasciata Hagen, 1859 , Rhyacophilatristis Pictet, 1834 , Philopotamusmontanus , Hydropsychefulvipes Curtis, 1834 ; Hydropsychesaxonica McLachlan, 1884 and Oecismusmonedula .Other species associated with Polycentropusierapetraslovenica in Letnic\u00eb on 20.07.2017 are: Rhyacophilafasciata Hagen, 1859 , Philopotamusmontanus and Hydropsycheinstabilis .Other species associated with Polycentropusierapetraslovenica in Drelaj on 14.07.2014 are: Plectrocnemiamojkovacensis Malicky, 1982 , Limnephilussparsus Curtis, 1834 and Micropternasequax McLachlan, 1875 .Other species associated with Polycentropusierapetraslovenica in Pepa on 17.09.2014 are: Rhyacophilaarmeniaca Guerin-Meneville, 1843 , Rhyacophilapalmeni McLachlan 1879 and Ecclisopteryxkeroveci Previ\u0161i\u0107, Graf & Vitecek .Other species associated with Brauer, 18573377AAF6-494F-57FA-B5C3-6E2762B7B25Fhttps://www.gbif.org/species/1433826Type status:Other material. Occurrence: recordedBy: Halil Ibrahimi, Naman Sinani, Arben Gashi; individualID: 1; sex: male; lifeStage: adult; Location: continent: Europe; waterBody: tributary of Lumbardhi i Pej\u00ebs River, Adriatic Sea basin; country: Kosovo; municipality: Pej\u00eb; locality: Stankaj; verbatimLocality: streamlet below the village; decimalLatitude: 42.700278; decimalLongitude: 20.143889; Event: samplingProtocol: UV light trap; year: 2014; month: 07; day: 20; fieldNotes: collected with entomological net; Record Level: institutionCode: University of Prishtina \"Hasan Prishtina\", Faculty of Mathematics and Natural Sciences, Department of Biology; collectionCode: caddisflies Bjeshk\u00ebt e NemunaAustria, Bosnia and Herzegovina, Czech Republic, Croatia, France, Germany, Italy, Liechtenstein, Poland, Slovakia, Slovenia, Switzerland .Rhyacophilaaurata in Stankaj on 20.07.2014 are: Rhyacophilaloxias Schmid, 970 , Rhyacophilapolonica McLachlan, 1879 , Rhyacophilapalmeni McLachlan, 1879 , Rhyacophilatristis Pictet, 1834 , Rhyacophilamocsaryi Klapalek, 1898 , Philopotamusmontanus and Micrasemasericeum Klapalek, 1902 .Other species associated with Rhyacophilidae family is reported for the first time and one subspecies of Polycentropodidae is documented for the first time with the exact data from the Republic of Kosovo: Rhyacophilaaurata and Polycentropusierapetraslovenica.One species of the Polycentropusierapetra is endemic to South-eastern Europe and Turkey, with several known subspecies which are narrow endemics of certain areas and Greece . In Bulgaria, only one subspecies is known. The only subspecies with wider distribution is Polycentropusierapetraslovenica, which was described from Slovenia but was later found in Italy and Bosnia and Herzegovina as well greatly enlarges their known distribution area. Previously, they have been reported from only few localities in the Balkans. It is only the second time that Psychomyiaklapaleki and the third time that Plectrocnemiamojkovacensis have been reported from Kosovo. This investigation shows that both mountainous areas where this investigation was conducted harbour a collection of rare caddisfly taxa, many of which are known only from a limited number of localities in the area, based on current knowledge. Further investigations of this area will most certainly increase the number of known species in Kosovo and improve the knowledge about this order of insects in the Balkans.Finding of several other rare species during this investigation (such as:"}
+{"text": "The Funding section is incorrect. The correct Funding section is: The authors would like to acknowledge the financial support of: FINEP (Financiadora de Estudos e Projetos\u2014Project 01.12.0476.01), CNPq and PRPq-UFMG (Pro-Reitoria de Pesquisa da UFMG). The publisher apologizes for the error."}
+{"text": "This article has been corrected: The correct Due to erroneous figure processing and oversight, unintended mistakes occurred during the assembly of The authors apologize for the oversight. The authors declare that this correction does not affect the description, interpretation, or the original conclusions of the manuscript.https://doi.org/10.18632/oncotarget.4754Original article: Oncotarget. 2015; 6:26841-26860."}
+{"text": "AbstractAvrainvillea was recently discovered off the island of O\u2018ahu in the Main Hawaiian Islands. Specimens were collected from Honolulu Harbor, including its entrance channel, and near Ke\u2018ehi Harbor. These locations are both in M\u0101lama Bay on O\u2018ahu\u2019s south shore in or adjacent to urbanized estuaries, respectively. In situ observations, morphological and molecular assessments were conducted to examine the alga\u2019s habit and distribution, as well as to assess its putative species identification.A second species in the siphonous green algal genus Halophiladecipiens) and algal meadows composed of the green alga Halimedakanaloana and an unidentified Udotea species at the Ke\u2018ehi Harbor site. All analyses supported both populations as representative of the same taxa, reported until further investigation in the broad Pacific as Avrainvilleacf.erecta based on morphological and molecular analyses. This record of a second Avrainvillea species in Hawai'i is of particular concern considering that an alga recognized as A.amadelpha, first observed in 1981 from two locales on O\u2018ahu\u2019s south shore, has become invasive in Hawai\u2018i\u2019s intertidal to mesophotic environments.The alga occurred in sand as single individuals or in clusters of several individuals at both sites, and near or within seagrass beds ( Bryopsidales includes over 500 extant species C. Agardh in the Mediterranean (Codiumfragilessp.tomentosoides(van Goor) P. C. Silva (=ssp.fragile (Suringar) Hariot) across the globe A. Gepp & E. S. Gepp. However, A.amadelpha is most likely incorrect were used to compare the newly recorded Avrainvillea sp. and the previously recorded \u201cA.amadelpha\u201d.Two specimens collected in 2014 BISH768338-9) and six collected in 2017 (BISH768278-83) that included what appeared to be mature and juvenile forms or possibly ecotypes were selected for morphological and molecular characterization were borrowed from the Natural History Museum of London and included in our molecular assessment . DNA extraction was completed using the OMEGA E.Z.N.A\u00ae Plant DNA Kit . For the two type specimens, the protocol developed by rbcL and tufA . These gene regions were selected as informative and reliably sequenced regions for siphonous green algae and reverse (rbcLR) primers developed by 6 generations with chain sampling every 1,000 generations and a burnin value of 25% until congruence was met (standard deviation of split frequencies <0.05). Both RAxML and MrBayes were accessed on the CIPRES Science Gateway A. Gepp & E.S. Gepp; Location: country: USA; municipality: Honolulu; locality: M\u0101lama Bay, seaward of Ke\u2018ehi Lagoon; minimumDepthInMeters: 25; maximumDepthInMeters: 40; decimalLatitude: 21.29; decimalLongitude: 157.9205; georeferenceProtocol: GPS; Identification: identifiedBy: Rachael M. Wade; dateIdentified: May-2017; identificationReferences: Olsen-Stojkovich 1985; Event: eventDate: Apr-22-2017; Record Level: language: en; basisOfRecord: PreservedSpecimenType status:Other material. Occurrence: catalogNumber: BISH768338-9; recordedBy: Kimberly Peyton, Kevin Foster, Paul Murakawa; individualCount: 2; otherCatalogNumbers: ARS09436-7; associatedSequences: MF969093-6; Taxon: scientificName: Avrainvillea cf. erecta; kingdom: Plantae; phylum: Chlorophyta; class: Ulvophyceae; order: Bryopsidales; family: Dichotomosiphonaceae; genus: Avrainvillea; specificEpithet: erecta; scientificNameAuthorship: (Berkeley) A. Gepp & E.S. Gepp; Location: country: USA; municipality: Honolulu; locality: M\u0101lama Bay, Honolulu Harbor; minimumDepthInMeters: 12; maximumDepthInMeters: 15; decimalLatitude: 21.30; decimalLongitude: 157.8689; georeferenceProtocol: GPS; Identification: identifiedBy: Rachael M. Wade; dateIdentified: Aug-2017; identificationReferences: Olsen-Stojkovich 1985; Event: eventDate: Oct-15-2015; Record Level: language: en; basisOfRecord: PreservedSpecimenType status:Other material. Occurrence: associatedSequences: MH938452; Taxon: scientificName: Avrainvilleaerecta; acceptedNameUsage: Avrainvilleaerecta Gepp & Gepp 1911; originalNameUsage: ChloroplegmapapuanumZanaradini 1878; kingdom: Plantae; phylum: Chlorophyta; class: Ulvophyceae; order: Bryopsidales; family: Dichotomosiphonaceae; genus: Avrainvillea; specificEpithet: erecta; taxonomicStatus: heterotypic synonym; Location: waterBody: Pacific Ocean; country: Indonesia; stateProvince: Papua; Identification: identifiedBy: Zanardini; dateIdentified: 1878; Event: year: 1872; month: May; fieldNotes: Collected by Odoardo Beccari; Record Level: institutionID: BM000561613; basisOfRecord: PreservedSpecimenAvrainvillea sp. was observed at six of 16 survey sites in the Honolulu Harbor entrance channel from 12-15m depths in areas with deep sand , giving some thalli a U-shaped appearance. The holdfasts of larger, more mature individuals protruded from the sediment by approximately 1-5 cm, creating a conical mound at the base of the alga. Individuals were generally clean and not heavily epiphytized. The two morphologies at this location experienced very little water motion due to attenuation of wave motion with depth, and therefore were most likely the result of differences in age. The individuals with spherical assemblages of loose siphons were consistently much smaller in thallus size than the well-formed blade morphology.In 2017, the newly recorded Avrainvilleaerecta (Berkeley) A. Gepp & E.S. Gepp and their further morphological characterization by The specimens were olive-green upon collection and dried to a darker green with fulvous, or tawny, coloration Fig. c, d. Spe2rbcL and tufA, however, molecular characterization of historical material was only successful for rbcL for one of the heterotypic synonym type specimens - Chloroplegmapapuanum BM000561613. The concatenated alignment of the two gene regions yielded a dataset of 1,360 bp. Both the Maximum Likelihood and Bayesian inference phylogenetic reconstructions strongly supported that the newly recorded Avrainvillea species, A.cf.erecta, was clearly distinct from Hawai\u2018i specimens identified as \u201cA.amadelpha\u201d (obscura\u201d group while \u201cA.amadelpha\u201d clusters within the \u201clongicaulis\u201d group (A.cf.erecta (Berkeley) A. Gepp & E. S. Gepp from Japan and Micronesia. Although they exhibited two different morphs (loose siphons or blade), all specimens from the two Hawai\u2018i populations had identical DNA sequences.The majority of examined specimens were sequenced for both adelpha\u201d ; these ns\u201d group Fig. 3)rbcL and Avrainvillea species showed most affinities to the description of A.erecta based on stipe length, blade habit, siphon width and morphology (constriction at dichotomy); however considering that we could not obtain material from type locality or the basionym type specimen (Dichonemaerectum Berkeley 1842), we temporarily consider the newly recorded species as A.cf.erecta until further research can be conducted J.Agardh, in part due to the description of the species\u2019 ecomorphs that resemble both morphologies described here . However, during the past two years, H.kanaloana has begun to appear, and in many places, is now one of the dominant species. Similarly, Udotea sp. was only observed for the first time in the area earlier in 2017. Based on these observations, this habitat may be undergoing significant shifts in species composition, in which A.cf.erecta is playing a part .The site examined near Ke\u2018ehi Lagoon has historically been dominated by A.erecta encompasses the East coast of Africa and the Red Sea to as far as the western Pacific in the waters of New Zealand and several Pacific Islands . Bolded character text represent character congruence with the newly discovered species from Hawai\u2018i.File: oo_233632.xlsxWade R"}
+{"text": "This article has been corrected: The correct Acknowledgment information is given below:ACKNOWLEDGMENTSThis work was funded by National Natural Science Foundation of China grant 81472606, Chinese Ministry of Science and Technology grant (973 grant) 2011CB812401, and the Beijing Municipal Government.https://doi.org/10.18632/oncotarget.5221Original article: Oncotarget. 2015; 6:31628-31639."}
+{"text": "Following publication of the original article , the autIncorrect tagging:Bart Staal JCorrect tagging:Staal JB"}
+{"text": "Nature Communications8: Article number: 15405; DOI: 10.1038/ncomms15405 (2017); Published online 05222017; Updated 05252018The originally published version of this Article contained errors in Figure 4. In panels c and d, the labeling of the light and dark blue lines was inverted. These errors have now been corrected in both the PDF and HTML versions of the Article."}
+{"text": "OBJECTIVES/SPECIFIC AIMS: Objectives: To determine genes that are shared between human and obese Zucker rat hypertrophic hearts, in order to identify potential early biomarkers and drug target for heart failure. METHODS/STUDY POPULATION: Four age-paired lean and obese Zucker rats were used. The human data are derived from doi:10.1152/physiolgenomics.00122.2016. RESULTS/ANTICIPATED RESULTS: We expect to find genes that are upregulated and downregulated in Zucker rats and humans that present cardiac hypertrophy. DISCUSSION/SIGNIFICANCE OF IMPACT: The genes and proteins determined from this study will provide future directions in order to determine whether obese Zucker rats are a valid model organism for the development of cardiac hypertrophy."}
+{"text": "Nature Communications8: Article number: 14389; DOI: 10.1038/ncomms14389; Published: 02242017; Updated: 07132018The original HTML version of this Article had an incorrect article number of \u20180\u2019; it should have been \u201814389\u2019. This has now been corrected in the HTML version of the Article. The PDF version was correct from the time of publication."}
+{"text": "Nature Communications7: Article number: 11414; DOI: 10.1038/ncomms11414 (2016), Published 04252016; Updated 11232018In the original version of this Article, the accession codes section within the Methods was inadvertently omitted. This section has now been added in both the PDF and HTML versions of the Article."}
+{"text": "Correction to: BMC Public Healthhttp://dx.doi.org/10.1186/s12889-019-7144-zIt was highlighted that the original article containeThe Publisher apologizes to the authors and readers for the inconvenience caused by the typesetting mistake.Incorrect title:Formative research for the design of a scalable mobile health program water, sanitation, and hygiene: CHoBI7 mobile health program.Correct title:Formative research for the design of a scalable water, sanitation, and hygiene mobile health program: CHoBI7 mobile health program.Incorrect Table Correct Table"}
+{"text": "Nature Communications8: Article number: 16081; DOI: 10.1038/ncomms16081 (2017); Published: 07172017, Updated: 07132018The original version of this Article omitted the following from the Acknowledgements:A. baumannii targets, based on whole genome sequencing and annotation of BM4454 strain; and Stephanie Van Horn, Allan Kwan, Elizabeth Valoret for A. baumannii genome sequencing and annotation.\u2019\u2018We thank Robert Kirkpatrick for implementing the high throughput protein design strategy that enabled screening and triage of essential Also, the original version omitted an acknowledgement to Prof. Lydia Tabernero as one of our collaborators for supplying the purified proteins used in the Tuberculosis screen.This has been corrected in both the PDF and HTML versions of the Article."}
+{"text": "J Clin Exp Dent2018;3:252-263 1 Mar), there is an error in the authors of the manuscript. The correct author list is: Ioannis Kioleoglou, Argirios Pissiotis, Konstantinos Michalakis.In this article by Kioleoglou and colleagues ("}
+{"text": "Nature Communications8: Article number: 15544; DOI: 10.1038/ncomms15544 (2017); Published: 05182017, Updated: 07132018In the originally published version of this Article, financial support was not fully acknowledged. The PDF and HTML versions of the Article have now been corrected to include support from the National Natural Science Foundation of China grant number 81573325."}
+{"text": "The first sentence of the second paragraph of the Introduction should read: Australia has had seven highly pathogenic avian influenza (HPAI) outbreaks on chicken farms during the last 42 years (1976\u20132018), two of which have occurred in the last 10 years.Reference 20 should read: Office of Chief Veterinary Officer (AU). National Avian Influenza Surveillance Dossier. Canberra: Australian Government Department of Agriculture, Fisheries and Forestry; 2010. 165 p. [The last sentence of the fifth paragraph of the Introduction should read: Six of the seven outbreaks occurred in poultry low density regions (as outlined in farm density maps [26]) and the potential for spread of HPAI between farms in higher density regions is also not known [26].A reference is omitted from the last sentence of the second paragraph of the Discussion section, included to account for the 2012 and 2013 outbreaks.The sentence should read: In the seven HPAI out-breaks reported in poultry in Australia, introduction of LPAI viruses from wild birds and subsequent mutation has been hypothesized as the most likely origin of these outbreaks .The reference is: Brown I, Abolnik C, Garcia-Garcia J, McCullough S, Swayne DE, Cattoli G. High\u2010pathogenicity avian influenza outbreaks since 2008, excluding multi\u2010continental panzootic of H5 Goose/Guangdong\u2010lineage viruses. In: Swayne DE, editor. Animal Influenza 2nd ed. New York City: USA: Wiley; 2016. pp. 248\u2013270."}
+{"text": "Nature Communications8: Article number: 14278; DOI: 10.1038/ncomms14278 (2017); Published 02152017, Updated 07182018The original HTML version of this Article omitted the article number; it should have been \u201814278\u2019. This has now been corrected in the HTML version of the Article. The PDF version was correct from the time of publication."}
+{"text": "Nature Communications8: Article number: 14485; DOI: 10.1038/ncomms14485 (2017); Published: 02152017; Updated: 06252018The original HTML version of this Article omitted the article number; it should have been \u201814485\u2019. This has now been corrected in the HTML version of the Article. The PDF version was correct from the time of publication."}
+{"text": "AbstractVanhorniaeucnemidarum Crawford is the only species of Vanhorniidae that occurs in North America. This species is rarely collected and thus the distribution is not well documented. Intending to uncover a more accurate range of this species, we assembled collection records from museums, personal collections and citizen science projects. Many of these records were non-digitised and had to be personally requested.V.eucnemidarum to include nine new provinces and states: Manitoba, Connecticut, Oregon, Mississippi, Missouri, New Hampshire, New Jersey, Texas and Wisconsin. Although Quebec has been listed as a previous locality, the recorded province was mislabelled, so Quebec is now also officially a provincial record.Here we expand the known distribution of In spite of the fact that many species on our planet remain undescribed , our in-Vanhorniidae . They can be distinguished from other proctotrupoids using a combination of characters: exodont mandibles and V.leileri Hedquist, 1976 found in dead maple between the dates of 7-14 August 2015 in a stand of trees that included maple. Additional collection records were gathered from personal communications with museums (Table Two specimens of ms Table . The majAll locality records have been entered in Darwin Core archive format (Suppl. material All photos in this study were taken using a Canon 7D Mark II with either a Canon MP-E 65 mm F/2.8 Macro photo lens or a Mitutoyo M Plan Apo 10\u00d7 objective mounted on to the Canon EF Telephoto 70-200 mm zoom lens. Multiple images were taken across numerous focal planes and combined using Zerene Stacker 1.04. Images were edited using Adobe Photoshop CC and plates were prepared using Adobe Illustrator CC.Crawford 1909c0ba557b-ca86-5da2-b771-3b049a0609a0http://www.catalogueoflife.org/col/details/species/id/84c6010b1c8cef32c9a7ee8e730446b8Type status:Other material. Occurrence: catalogNumber: JBWM0378038; recordedBy: Amber Bass; sex: female; lifeStage: adult; occurrenceID: UCFC:Veuc:00000265; Taxon: scientificName: Vanhorniaeucnemidarum Crawford 1909; kingdom: Animalia; phylum: Arthropoda; class: Insecta; order: Hymenoptera; family: Vanhorniidae; genus: Vanhornia; taxonRank: species; scientificNameAuthorship: Crawford 1909; Location: continent: North America; country: Canada; countryCode: CA; stateProvince: Manitoba; verbatimLocality: Howden; geodeticDatum: WGS84; Event: samplingProtocol: Malaise Trap; eventDate: 2015-07-14; year: 2015; month: 07; day: 14; Record Level: institutionCode: WRME; basisOfRecord: PreservedSpecimenType status:Other material. Occurrence: catalogNumber: UCFC0528248; recordedBy: Amber Bass; sex: female; lifeStage: adult; occurrenceID: UCFC:Veuc:00000196; Taxon: scientificName: Vanhorniaeucnemidarum Crawford 1909; kingdom: Animalia; phylum: Arthropoda; class: Insecta; order: Hymenoptera; family: Vanhorniidae; genus: Vanhornia; taxonRank: species; scientificNameAuthorship: Crawford 1909; Location: continent: North America; country: Canada; countryCode: CA; stateProvince: Manitoba; verbatimLocality: Howden; geodeticDatum: WGS84; Event: samplingProtocol: Malaise Trap; eventDate: 2015-07-14; year: 2015; month: 07; day: 14; Record Level: institutionCode: UCFC; basisOfRecord: PreservedSpecimenVanhorniaeucnemidarum can be distinguished from other species of Vanhornia by the following combination of characters: Antennal sockets inserted immediately above dorsal margin of clypeus; tegulae black to dark brown but never yellow; and rugulose metasomal striations restricted to the basal third.V.eucnemidarum in the states of Connecticut, Mississippi, Missouri, New Hampshire, New Jersey, Oregon, Texas and Wisconsin in USA and the Canadian province of Manitoba (Fig. V.eucnemidarum (Fig. V.eucnemidarum north to Manitoba, west to Oregon and south to Texas. This vast increase in the known range of V.eucnemidarum may be due to rarity of collection (Our search discovered 278 specimen records and three BugGuide photos. These data represent new records for rum Fig. , illustrrum Fig. D. The nellection , lack ofV.eucnemidarum, presented here, do not include host associations, they do allow for some speculation regarding the only known host, I.ruficornis. Several records of V.eucnemidarum were found to be in a state or province in which the known host I.ruficornis has not yet been recorded (I.ruficornis may be present in these areas but has not yet been collected or V.eucnemidarum may have a wider host breadth than previously thought. If the latter is true, we suspect the host range may include other Isorhipis species.Though the new records of recorded . These iV.eucnemidarum are with maple and beech (Isorhipisruficornis is a generalist on dead and rotting wood and, in addition to maple and beech, this species has been known to associate with eastern hemlock (V.eucnemidarum across a range of possible hosts will provide more information about the host breadth of V.eucnemidarum and may help predict its full range and possible biological control potential.The only known host plant associations of nd beech . Isorhip hemlock and elm hemlock . TargeteBiodiversity studies, such as this one, assist in building more complete ranges for species, which are vital for ecological, evolutionary and applied biological research. Researchers often have limited access to these data, with an estimated 10% of specimen data stored in a digital form and even less made available online . Only 22Citizen science records provided another important source of locality data used in this study. Photos, uploaded through citizen science projects and social media websites such as BugGuide, Flickr and iNaturalist, are becoming frequent sources of legitimate taxonomic records . This fuV.eucnemidarum, using a combination of museum, citizen science and digitised records. Given the large increase in range discovered through this study, it is possible that this species is present throughout North America. We hope this paper will aid in recognition of V.eucnemidarum by curators and naturalists, which will further our understanding of this enigmatic family of parasitoid wasps.This study has updated the distribution records of 681c9921-66bc-5f3f-9b21-a6f5ab2021b110.3897/BDJ.7.e37569.suppl1Supplementary material 1Vanhorniaeucnemidarum NA RecordsData type: OccurrencesBrief description: This datasheet provides an accessible way to search collection records gathered during this study.File: oo_312013.xlsxhttps://binary.pensoft.net/file/312013Joshua Hogan"}
+{"text": "Previous computational modeling suggests it is much easier to segment words from child-directed speech (CDS) than adult-directed speech (ADS). However, this conclusion is based on data collected in the laboratory, with CDS from play sessions and ADS between a parent and an experimenter, which may not be representative of ecologically collected CDS and ADS. Fully naturalistic ADS and CDS collected with a nonintrusive recording device as the child went about her day were analyzed with a diverse set of algorithms. The difference between registers was small compared to differences between algorithms; it reduced when corpora were matched, and it even reversed under some conditions. These results highlight the interest of studying learnability using naturalistic corpora and diverse algorithmic definitions. Although children are exposed to both child-directed speech (CDS) and adult-directed speech (ADS), children appear to extract more information from the former than the latter , were independently transcribed by two undergraduate assistants, who resolved any disagreements by discussion. Transcription was done at the lexical level adapting the CHILDES minCHAT guidelines for transcription .We derived several versions of the ADS and CDS subcorpora crossing two factors see , we had Scripts used for corpus preprocessing, phonologization, and segmentation are available Cristia, . During Each algorithm was run using the WordSeg package ), which is multiplied by 100 and reported as percentages here. Results for all other possible alternative metrics, and further discussion on these methods, are provided in the Supplemental Materials and recall is .3 (one out of three gold words is correct). The overall F-score ranges from 0 to 1, as it is the harmonic mean of precision Cristia, .phonotactic-gold) sets the diphone probability threshold based on gold word boundaries. The unsupervised version (phonotactic-unsupervised) sets the threshold using utterance boundaries only. The phonotactics were computed on the concatenation of CDS and ADS versions of the corpus. The second algorithm, labeled TP, posits boundaries using transition probabilities between syllables, as proposed in Saffran, Aslin, and Newport (TP-relative). That is, given the syllable sequence WXYZ, a boundary is posited between X and Y if the transition probability between the X-Y is lower than between W-X and Y-Z. The second version uses average transitions over all pairs of syllables in the corpus as the threshold . The other variant, which we call lexical-multigram, is based on a more complicated rule set with hierarchically defined levels that are both smaller and larger than words . The other posits word boundaries at syllable edges (henceforth base-syll). The latter is likely to be effective for English CDS, which has a very high proportion of monosyllabic words and whether CDS and ADS were matched in length . Positive difference scores, indicative of better CDS than ADS performance, were found in most matching conditions, regardless of whether automatic or human-utterance boundaries were used . HoweverIn short, we observe smaller CDS advantages than those found in previous work. To check whether this was due to algorithms or corpora, we applied our extensive suite of algorithms onto the Bernstein Ratner corpus ; ED from European Research Council (ERC-2011-AdG-295810 BOOTPHON), the Fondation de France, the Ecole de Neurosciences de Paris, the Region Ile de France (DIM cerveau et pens\u00e9e); MS from SSHRC . AC and ED acknowledge the institutional support of Agence Nationale de la Recherche (ANR-17-EURE-0017).AC: Conceptualization: Lead; Data curation: Lead; Formal analysis: Lead; Funding acquisition: Lead; Methodology: Lead; Project administration: Lead; Resources: Lead; Software: Lead; Validation: Lead; Visualization: Lead; Writing \u2013 original draft: Lead; Writing \u2013 review & editing: Lead. ED: Conceptualization: Supporting; Formal analysis: Supporting; Methodology: Supporting; Software: Supporting; Visualization: Supporting; Writing \u2013 review & editing: Supporting. NBR: Conceptualization: Supporting; Resources: Supporting; Writing \u2013 review & editing: Supporting. MS: Conceptualization: Supporting; Methodology: Supporting; Resources: Lead; Validation: Supporting; Visualization: Supporting; Writing \u2013 review & editing: Supporting.1\u2003The LENA Foundation built a hardware and software system to record and automatically analyze day-long child-centered recordings. For more information, see Soderstrom and Wittebolle .2\u2003https://osf.io/rvdbq/.The transcription manual is available from"}
+{"text": "Following publication of the original article , the autIncorrect Title:Associations between post-operative rehabilitation of hip fracture and outcomes: national database analysis (90 characters)Correct Title:Associations between post-operative rehabilitation of hip fracture and outcomes: national database analysis"}
+{"text": "Following publication of the original article , the autOriginally the author name was published as:Naima M. MoustaidThe correct author name is:Naima Moustaid-Moussa"}
+{"text": "Nature Communications8: Article number: 14375; DOI: 10.1038/ncomms14375 (2017); Published online: 02152017, Updated: 06252018The original HTML version of this Article omitted the article number; it should have been \u201814375\u2019. This has now been corrected in the HTML version of the Article. The PDF version was correct from the time of publication."}
+{"text": "Following publication of the original article , the autOn page 10:Equation but should read as:On page 12:The equation reads as:but should read as:The original article has been updated."}
+{"text": "Personality Traits in Fibromyalgia (FM): Does FM Personality Exists? A Systematic Review2018, 14: 223-232Clinical Practice & Epidemiology in Mental Health, CorrectionThe corrections are provided and replaced online which is mentioned as under:Original: The name of coauthor was Ciacchini RebeccaCorrected:The name of coauthor has been revised as Rebecca Ciacchini"}
+{"text": "This article has been corrected: An institutional investigation was conducted at the request of the Oncotarget editorial staff by the Academia Sinica Ethics Committee . The Committee concluded the following: \u201cThe partial duplication of Figure https://doi.org/10.18632/oncotarget.9660Original article: Oncotarget. 2016; 7:43629-43653."}
+{"text": "Scientific Reports6: Article number: 2876710.1038/srep28767; published online: 06302016; updated: 07182018The Corrigendum published 25 April 2017 did not explain that the issue of entanglement swapping had been raised previously by Pathak and Thapliyal"}
+{"text": "Nature Communications8: Article number: 14602; DOI: 10.1038/ncomms14602 (2017); Published: 02272017, Updated: 06252018The original HTML version of this Article had an incorrect article number of \u20180\u2019; it should have been \u201814602\u2019. This has now been corrected in the HTML version of the Article. The PDF version was correct from the time of publication."}
+{"text": "Nature Communications8: Article number: 15587; DOI: 10.1038/ncomms15587 (2017); Published: 05262017, Updated: 07132018In the originally published version of this Article, financial support was not fully acknowledged. The PDF and HTML versions of the Article have now been corrected to include support from the European Union\u2019s Horizon 2020 Framework Programme for Research and Innovation\u2014Grant Agreement No. 720824."}
+{"text": "AbstractPselaphodes Westwood, P.fansipanensis Bekchiev & Yin sp. n., is described from northern Vietnam. The unique modification of the antennomeres 9\u201310 of the male readily separates the new species from all known congeners.A new species of the genus Pselaphodes species from VietnamNew Pselaphinae (Coleoptera: Staphylinidae) fauna of Vietnam is poorly studied. Until now, 112 species (Pselaphodes (Tyrini) have been described, all from the Oriental region - China, Nepal, India, Sri Lanka, Thailand, the Philippines and East Malaysia and the National Museum of Natural History (Sofia), giving the opportunity to collect rich zoological material. One of the visited localities was Fansipan Mountain and, especially, the Fansipan Summit. It is the highest mountain in the Indochinese Peninsula , hence its nickname \"the Roof of Indochina\u201d.Pselaphodes species, which is described below.Included in the material was a new The material was collected in an open habitat with shrubs and grasses Fig. by soil Specimens were examined by Zeiss Stemi 2000C stereo-microscopes. Male genitalia and other dissected parts were studied using a Zeiss transmitted-light microscope at magnifications up to 500x. Genital segments were dissected and treated with potassium hydroxide (KOH). The dissected parts were mounted in Euparal and pinned with the relevant specimen.The following acronyms are used in the text: BL\u2014length of the body (= HL + PL + EL + AL); HL\u2014length of the head from the anterior clypeal margin to the occipital constriction; HW\u2014width of the head across eyes; PL\u2014 length of the pronotum along the midline; PW\u2014maximum width of the pronotum; EL\u2014length of the elytra along the suture; EW\u2014maximum width of the elytra; AL\u2014length of dorsally visible part of the abdomen along the midline; AW\u2014maximum width of the abdomen; NMNHS \u2013 National Museum of Natural History, Sofia, BulgariaPselaphodesfansipanensis sp. n.\u201d, \u201cR. Bekchiev & Zi-Wei Yin, 2019 \u201c .The type specimen is provided with a red printed label: \u201dHOLOTYPUS\u201d, \u201cBekchiev & Yinsp. n.D09F6ED4-1593-5404-953B-D5FB98029570urn:lsid:zoobank.org:act:EB4A1A24-6782-4926-97E6-08CCFF8B1B79Type status:Holotype. Occurrence: recordedBy: R. Bekchiev, N. Simov, I. Dedov, P. Beron; individualCount: 1; sex: male; lifeStage: adult; Taxon: scientificNameID: Pselaphodesfansipanensis; higherClassification: Coleoptera; Staphylinidae; Pselaphinae; class: Insecta; order: Coleoptera; family: Staphylinidae; genus: Pselaphodes; specificEpithet: fansipanensis; taxonRank: species; Location: locationID: Fansipan peak; higherGeographyID: Lao Cai Province; higherGeography: Vietnam; continent: Asia; verbatimElevation: 2992 m; verbatimLatitude: 22.30560; verbatimLongitude: 103.77625; decimalLatitude: 22.30560; decimalLongitude: 103.77625; Identification: identifiedBy: Rostislav Bekchiev, Zi-Wei Yin; dateIdentified: 2019; Record Level: institutionID: National Museum of Natural History-Sofia; institutionCode: NMNHSMale Fig. . Body reAntennomeres Fig. a 9\u201311 foLength of aedeagus 0.77 mm, median lobe broad and asymmetrical, parameres elongate, endophallus with one elongate sclerite Fig. d, e; theFemale. Unknown.The new species is named after Fansipan Summit, the type locality of the new species.North Vietnam: Lao Cai Province.The new species can be readily separated from all other members of the genus by the unique modification of the antennomeres 9\u201310 and the short, triangular metaventral processes of the male, as well as the shape of the aedeagus."}
+{"text": "Nature Communications6: Article number: 6262; DOI: 10.1038/ncomms7262 (2015); Published: 02092015, Updated: 06252018John S. Church, who provided access to the FLIR E60 infrared camera and provided guidance in its use, was inadvertently omitted from the author list in the originally published version of this Article. This has now been corrected in both the PDF and HTML versions of the Article."}
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+{"text": "Scientific Reports 10.1038/s41598-020-60928-0, published online 04 March 2020Correction to: This Article contains a typographical error in the Acknowledgements section.\u201cThis work was supported under the Science for Clear Energy (S4CE) project\u201dshould read:\u201cThis work was supported under the Science for Clean Energy (S4CE) project\u201d"}
+{"text": "Scientific Reports 10.1038/s41598-019-47814-0, published online 06 August 2019Correction to: This Article contains an error in Figure 2A, where there was an image processing error.https://www.rndsystems.com/products/human-ldlr-antibody_af2148#product-details). Therefore, the text in the Results, under the subheading \u201cHuman LDLR is proteolytically cleaved in its extracellular ligand binding domain\u201d,The product datasheet for antibody AF2148 has been updated, and the target region of this antibody has been specified as Asp193-Arg788 raised against the entire ectodomain of LDLR\u2026\u201dshould read:\u201c\u2026 antibody AF2148 (R&D Systems) raised against amino acids 193-788 of LDLR\u2026\u201dThe correct Figure 2A appears below as Figure"}
+{"text": "In the article titled \u201cThe Effectiveness, Tolerability, and Safety of Different 1-Day Bowel Preparation Regimens for Pediatric Colonoscopy\u201d ["}
+{"text": "Scientific Reportshttps://doi.org/10.1038/s41598-020-72409-5, published online 21 September 2020Correction to: This Article contains an error in Figure\u00a03, where the last image in panel (a) is incorrectly labelled \u2018Uninfected ECD\u2019. The correct Figure\u00a03 appears below as Figure"}
+{"text": "ScientificReports10.1038/s41598-017-09785-y, published online 30 August 2017Correction to: This Article contains typographical errors in Table6.The reference sequences of ACTA2 and MYH11, \u2018NM_001141945\u2019and \u2018NM_001040114\u2019 were incorrectly given as \u2018NM_001613\u2019 and\u2018NM_002474\u2019, respectively."}
+{"text": "A metabolic hallmark of many cancers is the increase in glucose consumption coupled to excessive lactate production. Mindful that L-lactate originates only from pyruvate, the question arises as to how can this be sustained in those tissues where pyruvate kinase activity is reduced due to dimerization of PKM2 isoform or inhibited by oxidative/nitrosative stress, posttranslational modifications or mutations, all widely reported findings in the very same cells. Hereby 17 pathways connecting glucose to lactate bypassing pyruvate kinase are reviewed, some of which transit through the mitochondrial matrix. An additional 69 converging pathways leading to pyruvate and lactate, but not commencing from glucose, are also examined. The minor production of pyruvate and lactate by glutaminolysis is scrutinized separately. The present review aims to highlight the ways through which L-lactate can still be produced from pyruvate using carbon atoms originating from glucose or other substrates in cells with kinetically impaired pyruvate kinase and underscore the importance of mitochondria in cancer metabolism irrespective of oxidative phosphorylation. In huma(2) Glc \u2192\u2192\u2192 methylglyoxal \u2192\u2192\u2192 pyruvate: This may occur through four different routes involving aldehyde dehydrogenase 9, zinc binding alcohol dehydrogenase domain containing two [more recently renamed to prostaglandin reductase 3 ] and at (3) Glc \u2192\u2192\u2192 PEP \u2192 pyruvate: the terminal reaction is catalyzed by tartrate-resistant acid phosphatases (TRAP), the molecular identity of which remained unknown well after their biochemical characterization ; they ar(4) Glc \u2192\u2192\u2192 PEP; PEP + GalNAc \u2192 GalNAc-1P + pyruvate: Terminal reaction catalyzed by N-acetylgalactosamine kinase isoforms 1 or 2 . These e(5) Glc \u2192\u2192\u2192 3-PG \u2192 2-PG (by phosphoglucomutase 1 or 2) \u2192 glycerate [probably through 2-phosphoglyceric acid phosphatase ] \u2192 3-OH-(6) Glc \u2192\u2192\u2192 3-PG \u2192 phosphohydroxypyruvate (Php), catalyzed by phosphoglycerate dehydrogenase; Php + Ala \u2192 phosphoserine (Pser) + pyruvate, catalyzed by phosphoserine aminotransferase (PSAT) : PSAT ov(7) Glc \u2192\u2192\u2192 3-PG \u2192Php ; Php + Ala (or Glu) \u2192 Pser + pyruvate (or \u2192Kg); the latter reaction is catalyzed by phosphoserine aminotransferase; Pser \u2192 Ser \u2192 pyruvate, catalyzed by serine dehydratase or serin(8) Glc \u2192\u2192\u2192 Glyoxal \u2192\u2192\u2192 glyoxylate ; glyoxyl(9) Glc \u2192\u2192\u2192 3-PG \u2192Php ; Php + Glu \u2192 Pser + \u2192Kg; latter reaction catalyzed by phosphoserine aminotransferase; \u2192Kg + Ala \u2192 Glu + pyruvate, catalyzed by alanine aminotransferase .in vivo glyoxylate entry into the mitochondria, (2) reversibility of the matrix phosphoenolpyruvate carboxykinase (PCK2), and (3) reversibility of the mitochondrial pyruvate carrier (MPC). Regarding glyoxylate, I was unable to find information on its transport across the inner mitochondrial membrane; however, it is known that it can be processed by the matrix-localized AGXT2 . PCK2 exin vivo . Regardiin vivo , pigeon in vivo , guinea in vivo , rabbit in vivo , chickenin vivo , and bulin vivo . Howeverin vivo , demonst in vivo ; relevan in vivo ; further in vivo ; indeed in vivo ; however in vivo . Mindful(10) Glc \u2192\u2192\u2192 glyoxal \u2192\u2192\u2192 glyoxylate: Glyoxylate enters the mitochondria; glyoxylate + Ala \u2192 Gly + pyruvate through AGXT2. Pyruvate may exit the mitochondria through the MPC .via mitochondrial PEPCK evoking PEP transport across the inner mitochondrial membrane has also been demonstrated by the group of Kibbey ((11) Glc \u2192\u2192\u2192 PEP which enters the mitochondria; PEP transport across the inner membrane of mammalian mitochondria has been demonstrated to occur by the tricarboxylate carrier by f Kibbey ; PEP \u2192 O(12) Glc \u2192\u2192\u2192 PEP; PEP enters the mitochondria through the means outlined in pathway 11. PEP \u2192 OAA by PCK2; OAA \u2192 pyruvate by FAHD1 , 2015. FME2 knockdown suppresses tumor growth in lung cancer Glc \u2192\u2192\u2192 PEP; PEP enters the mitochondria through the means outlined in pathway 11; PEP \u2192 OAA by PCK2; OAA \u2192 Mal by MDH2; Mal \u2192 pyruvate by ME2,3 . Pyruvatg cancer , while Mc cancer .ME1 knockdown inhibits the growth of colon cancer cells ((14) Glc \u2192\u2192\u2192 PEP; PEP enters the mitochondria through the means outlined in pathway 11; PEP \u2192 OAA by PCK2; OAA \u2192 Mal by MDH2; Mal exits the mitochondria; Mal \u2192 pyruvate by ME1 . ME1 knoer cells , and itser cells . In the er cells .(15) Glc \u2192\u2192\u2192 PEP; PEP enters the mitochondria through the means outlined in pathway 11; PEP \u2192 OAA by PCK2; OAA + acetyl-CoA \u2192 citrate by CS; citrate exits the mitochondria through the dicarboxylate carrier; citrate + ATP + CoASH \u2192 acetyl-coA + ADP + Pi + OAA by ACLY ; OAA \u2192 M(16) Glc \u2192\u2192\u2192 PEP; PEP enters the mitochondria through the means outlined in pathway 11; PEP \u2192 OAA by PCK2; OAA + Glu \u2192\u2192Kg + Asp by GOT2; Asp exits the mitochondria; Asp + \u2192Kg \u2192 Glu + OAA by GOT1; OAA \u2192 Mal by MDH1; Mal \u2192 pyruvate by ME1 .CLYBL was reported to be overexpressed in 465 out of 38,258 tumor samples in the COSMIC database8.(17) Glc \u2192\u2192\u2192 PEP; PEP enters the mitochondria through the means outlined in pathway 11; PEP \u2192 OAA by PCK2; OAA + acetyl-CoA \u2192 citrate by CS; citrate \u2192 cis-aconitate, intermediate of ACO2 reaction; cis-aconitate \u2192 itaconate by cADC; itaconate + CoASH + ATP (or GTP) \u2192 itaconyl-CoA + Pi + ADP (or GDP) by SUCL ; itaconyThese pathways are shown in (18) Ser \u2192 pyruvate, catalyzed by SDS or SDSL .(19) Ser \u2192\u2192\u2192 PEP; PEP \u2192 pyruvate; terminal reaction catalyzed by tartrate-resistant acid phosphatase .(20) Ser \u2192\u2192\u2192 PEP; PEP + GalNAc \u2192 GalNAc-1P + pyruvate. The terminal reaction is catalyzed by N-acetylgalactosamine kinase isoforms 1 or 2 .(21) Ala \u2192 pyruvate, catalyzed by L-amino-acid oxidases (LAAO) : SeveralMYC-dependent manner ((22) Ala + 2-oxoglrm \u2192 Gln + pyruvate, catalyzed by glutamine-pyruvate transaminase (GPAT) . GPAT ist manner .(23) Ala + 2-Oml \u2192 Aml + pyruvate, catalyzed by alanine-ketomalonate transaminase (ALXT) . I was uMYC-dependent manner ((24) Ala + \u03b1Kg \u2192 Glu + pyruvate, catalyzed by GPT: GPT\u2014similar to GPAT\u2014is upregulated in many cancers in a t manner .(25) Ala + OAA \u2192 Asp + pyruvate; enzyme unknown .(26) Ala + Glyoxylate \u2192 Gly + pyruvate, catalyzed by alanine-glyoxylate aminotransferase .(27) Ala + 3-OH-pyr \u2192 Ser + pyruvate, catalyzed by alanine-glyoxylate aminotransferase .(28) Thr \u2192 Gly + acetaldehyde, catalyzed by SHMT1 ; Gly + 5(29) Asp + \u03b1Kg \u2192 Glu + OAA, catalyzed by GOT1; OAA \u2192 Mal by MDH1; Mal \u2192 pyruvate by ME1 .(30) 4-OH-proline \u2192\u2192\u2192 pyruvate, through glyoxylate formation (see pathway no. 26).(31) Cys \u2192\u2192\u2192 pyruvate through the sulfinate pathway , 2020. N(32) Cys \u2192 3-sulfino-L-alanine catalyzed by aspartate 4-decarboxylase ; 3-sulfi2S + pyruvate through the 3-mercaptopyruvate pathway ((33) Cys \u2192\u2192\u2192 H pathway . Cys can2S by 3-mercaptopyruvate sulfurtransferase (3MST) ((34) L-cysteine is isomerized to D-cysteine by cysteine racemase (2-amino-3-mercaptopropionic acid racemase) ; D-Cys ie (3MST) or thiose (3MST) . The pose (3MST) in mamma3 and pyruvate through SDS, SDSL, or SRR Ser \u2192 dehydroalanine (2-aminoacrylate) by serine dehydratase (SDS), serine dehydratase-like protein (SDSL), or serine racemase (SRR): Dehydroalanine can further hydrolyze to NH, or SRR ; sometimeaminase . Dehydroeaminase . The cru3, and pyruvate by selenocysteine lyase ((36) Se-methyl-L-selenocysteine can be deaminated to methaneselenol, NHne lyase . SeMSC cne lyase . SeMSC wne lyase and evenne lyase .(37) Val \u2192\u2192\u2192 2-methyl-3-oxopropanoate; 2-methyl-3-oxopropanoate can get transaminated with alanine by AGXT2 to D-3-amino-isobutanoate + pyruvate . The ove(38) Leu \u2192\u2192\u2192 3-methylbutanoyl-CoA; the latter compound is converted to isobutyryl-CoA through branched-chain fatty acid metabolism (many steps); isobutyryl-CoA \u2192\u2192\u2192 2-methyl-3-oxopropanoate; 2-methyl-3-oxopropanoate can get transaminated with alanine by AGXT2 to D-3-amino-isobutanoate + pyruvate . Because(39) Ile \u2192\u2192\u2192 2-methylbutanoyl-CoA; the latter compound is converted to isobutyryl-CoA through branched-chain fatty acid metabolism (many steps); isobutyryl-CoA \u2192\u2192\u2192 2-methyl-3-oxopropanoate; 2-methyl-3-oxopropanoate can get transaminated with alanine by AGXT2 to D-3-amino-isobutanoate + pyruvate . Because2 \u2192 CO2 + succinate + trans-4-hydroxy-L-proline, catalyzed by prolyl 4-hydroxylase subunit alpha ; trans-4-hydroxy-L-proline is then converted to L-1-pyrroline-3-hydroxy-5-carboxylate, also yielding NAD(P)H, by either pyrroline-5-carboxylate reductase or left\u2013right determination factor 1 (LEFTY1), a member of the TGF-\u2192 family of proteins; L-1-pyrroline-3-hydroxy-5-carboxylate can be converted to L-erythro-4-hydroxyglutamate, also yielding NAD(P)H, by aldehyde dehydrogenase 4 family member A1; in turn, L-erythro-4-hydroxyglutamate is transaminated with either OAA by GOT2, yielding 4-hydroxy-2-oxoglutarate + aspartate, or \u2192Kg by GOT1 or GOT2, yielding 4-hydroxy-2-oxoglutarate + glutamate; finally, 4-hydroxy-2-oxoglutarate is converted to glyoxylate and pyruvate by 4-hydroxy-2-oxoglutarate glyoxylate-lyase. It is relevant that increased proline catabolism has been recently reported to support metastasis ((40) Pro + \u03b1Kg + Otastasis . Arg, thThese pathways are shown in (41) Thr \u2192\u2192\u2192 acetyl-CoA; acetyl-CoA + OAA \u2192 citrate, catalyzed by CS; citrate exits the mitochondria through the dicarboxylate carrier; citrate + ATP + CoASH \u2192 Acetyl-coA + ADP + Pi + OAA by ACLY ; OAA \u2192 M(42) Thr \u2192\u2192\u2192 acetyl-CoA; acetyl-CoA + OAA \u2192 citrate, catalyzed by CS; citrate \u2192 cis-aconitate, intermediate of ACO2 reaction; cis-aconitate \u2192 itaconate by cADC; itaconate + CoASH + ATP (or GTP) \u2192 itaconyl-CoA + Pi + ADP (or GDP) by SUCL; itaconyl-CoA \u2192 citramalyl-CoA by MGTK; citramalyl-coA \u2192 acetyl-CoA + pyruvate by CLYBL. Pyruvate may exit the mitochondria through the MPC .(43) Asn \u2192\u2192\u2192 Asp; Asp + \u03b1Kg \u2192 Glu + OAA by GOT2; OAA by PCK2; OAA \u2192 pyruvate by reverse operation of PC. However, this is expected to be a path of a very minor flux. Pyruvate may exit the mitochondria through the MPC. The crucial role of asparagine availability in cancer is explored in (44) Asn \u2192\u2192\u2192 Asp; Asp + \u03b1Kg \u2192 Glu + OAA by GOT2; OAA \u2192 pyruvate by acylpyruvase (FAHD1). Pyruvate may exit the mitochondria through the MPC .(45) Asn \u2192\u2192\u2192 Asp; Asp + \u03b1Kg \u2192 Glu + OAA by GOT2; OAA \u2192 Mal by MDH2; Mal \u2192 pyruvate by ME2,3. Pyruvate may exit the mitochondria through the MPC .(46) Asn \u2192\u2192\u2192 Asp; Asp + \u03b1Kg \u2192 Glu + OAA by GOT2; OAA \u2192 Mal by MDH2; Mal exits the mitochondria; Mal \u2192 pyruvate by ME1 .(47) Tyr, Phe \u2192\u2192\u2192 Fum; Fum \u2192 Mal by FH; Mal \u2192 pyruvate by ME2,3 .(48) Tyr, Phe \u2192\u2192\u2192 Fum; Fum \u2192 Mal by FH; Mal exits the mitochondria; Mal \u2192 pyruvate by ME1 .(49) Tyr, Phe \u2192\u2192\u2192 Fum; Fum \u2192 Mal by FH; Mal \u2192 OAA by MDH2; OAA \u2192 pyruvate by acylpyruvase (FAHD1). Pyruvate may exit the mitochondria through the MPC .(50) Thr \u2192\u2192\u2192 acetyl-CoA; acetyl-CoA + OAA \u2192 citrate, catalyzed by CS; citrate exits the mitochondria through the dicarboxylate carrier; citrate + ATP + CoASH \u2192 acetyl-coA + ADP + Pi + OAA by ACLY; OAA \u2192 PEP by PCK1; PEP enters the mitochondria; PEP \u2192 OAA by PCK2; OAA \u2192 pyruvate by acylpyruvase (FAHD1). Pyruvate may exit the mitochondria through the MPC .(51) Thr \u2192\u2192\u2192 acetyl-CoA; acetyl-CoA + OAA \u2192 citrate, catalyzed by CS; citrate exits the mitochondria through the dicarboxylate carrier; citrate + ATP + CoASH \u2192 acetyl-coA + ADP + Pi + OAA by ACLY; OAA \u2192 PEP by PCK1; PEP enters mitochondria; PEP \u2192 OAA by PCK2; OAA \u2192 Mal by MDH2; Mal \u2192 pyruvate by ME2,3. Pyruvate may exit the mitochondria through the MPC .(52) Thr \u2192\u2192\u2192 acetyl-CoA; acetyl-CoA + OAA \u2192 citrate, catalyzed by CS; citrate exits the mitochondria through the dicarboxylate carrier; citrate + ATP + CoASH \u2192 acetyl-CoA + ADP + Pi + OAA by ACLY; OAA \u2192 PEP by PCK1; PEP enters the mitochondria; PEP \u2192 OAA by PCK2; OAA \u2192 Mal by MDH2; Mal exits the mitochondria; Mal \u2192 pyruvate by ME1 .(53) Thr \u2192\u2192\u2192 acetyl-CoA; acetyl-CoA + OAA \u2192 citrate, catalyzed by CS; citrate exits the mitochondria through the dicarboxylate carrier; citrate + ATP + CoASH \u2192 Acetyl-coA + ADP + Pi + OAA by ACLY; OAA \u2192 PEP by PCK1; PEP + GalNAc \u2192 GalNAc-1P + pyruvate. Terminal reaction catalyzed by N-acetylgalactosamine kinase isoforms 1 or 2 .(54) Thr \u2192\u2192\u2192 acetyl-CoA; acetyl-CoA + OAA \u2192 citrate, catalyzed by CS; citrate exits the mitochondria through the dicarboxylate carrier; citrate + ATP + CoASH \u2192 acetyl-coA + ADP + Pi + OAA by ACLY; OAA \u2192 PEP by PCK1; PEP \u2192 pyruvate; the terminal reaction is catalyzed by tartrate-resistant acid phosphatases .In the literature, some reactions have been described to produce pyruvate but are incompletely characterized. These are collectively listed below:2O \u2192 pyruvate + 2 NH3, catalyzed by carbamoyl-serine ammonia lyase ((55) O-carbamoyl-L-serine + Hia lyase . O-Carbaia lyase ; mindful2O \u2192 a thiol + NH3 + pyruvate, catalyzed by cysteine S-conjugate \u2192-lyases ((56) L-Cysteine-S-conjugate + H\u2192-lyases . The pos2O \u2192 L-homocysteine + pyruvate + NH3 or cysteine + H2O \u2192 sulfide + NH3 + pyruvate or cystine \u2192 thiocysteine + pyruvate + NH3, all catalyzed by cystathionine gamma-lyase ((57) cystathionine + Hma-lyase . Cystathma-lyase . In the ma-lyase .2O \u2192 pyruvate + NH3 + sulfate catalyzed by serine-sulfate ammonia-lyase ((58) L-Serine O-sulfate + Hia-lyase . I was u(59) N-Acetylneuraminate \u2192 N-acetyl-D-mannosamine + pyruvate catalyzed by N-acetylneuraminate lyase ; relevan2O + O2 \u2192 pyruvate + NH3 + H2O2 catalyzed by DAAO ((60) D-Alanine + H by DAAO . The int3 catalyzed by glutamate dehydrogenase; this reaction exhibits a weak activity ((61) L-Alanine \u2192 pyruvate + NHactivity . The rol(62) 2-Oxosuccinamic acid + Ala \u2192 Asn + pyruvate, catalyzed by asparagine aminotransferase . The ori(63) Pyruvate oxime + acetone \u2192 pyruvate + acetone oxime, catalyzed by oximinotransferase . Due to (64) Methylmalonyl-CoA + pyruvate \u2192 propionyl-CoA + oxaloacetate catalyzed by methylmalonyl-CoA carboxytransferase . This re(65) L-Alanine + 3-oxopropanoate \u2192 pyruvate + \u2192-alanine, catalyzed by either \u2192-alanine-pyruvate transaminase or alani(66) Phenylpyruvate + L-alanine \u2192 L-phenylalanine + pyruvate catalyzed by phenylalanine (histidine) transaminase . Phenylp(67) 2-Oxoisohexanoate + L-alanine \u2192 L-leucine + pyruvate, catalyzed by the mitochondrial branched-chain L-amino acid aminotransferase . The rol2 and pyruvate ((68) PCK1, ME1, and ME2,3 may also convert OAA to COpyruvate (for con(69) Salsolinol can be converted to salsolinol-1-carboxylate by salsolinol synthetase which can then be catabolized to dopamine and pyruvate (by an unknown enzyme); salsolinol is an endogenous catechol isoquinoline detected in humans derived from dopamine metabolism . SalsoliThese pathways are shown in Lactate\u2014unlike pyruvate\u2014exhibits chirality; thus, it exists in L- or D- configuration. In humans, a putative D-lactate dehydrogenase is known to exist . In meta(70) D-lactate formation by methylglyoxal and intestinal flora Pyruvate + QHl matrix , 1970. Ml matrix ; thus, i+ + pyruvate, catalyzed by D-lactate dehydrogenase; this reaction is mentioned in several databases, but no reference is given.(72) D- (or L-) Lactate + 2 ferricytochrome \u2192 2 ferrocytochrome C + 2 H+ + pyruvate, catalyzed by cytochrome B5 domain-containing protein 1; this reaction is mentioned in several databases, but no reference is given.(73) D- (or L-) Lactate + 2 ferricytochrome \u2192 2 ferrocytochrome C + 2 H+ + L-lactate, catalyzed by ADH ((74) Pyruvate + NADPH \u2192 NADPd by ADH . The man2O2 \u2192 L-lactate + O2, catalyzed by hydroxyacid oxidases ((75) Pyruvate + HAO1,2,3) . HoweverAO1,2,3) . HAO2 wa(76) Protein deglycase (E.C. 3.5.1.124) may form D-lactate from proteins . Relevan(77) Methylglyoxal spontaneously forms a hemithioacetal adduct with GSH; subsequently, glyoxalase I produces S-D-lactoylglutathione from this adduct , and gly+ to oxalate + NADH or \u03b1-ketobutyrate to \u2192-hydroxybutyrate or L-glycerate to hydroxypyruvate \u2192 pyruvate , several other routes may also contribute Gln \u2192 Glu \u2192 aKg \u2192 isocitrate \u2192 cis-aconitate \u2192 itaconate by cADC; itaconate + CoASH + ATP (or GTP) \u2192 itaconyl-CoA + Pi + ADP (or GDP) by SUCL ; itacony(80) Gln \u2192 Glu \u2192 aKg \u2192 isocitrate \u2192 cis-aconitate \u2192 citrate, exiting the mitochondria \u2192 citrate + ATP + CoASH \u2192 acetyl-coA + ADP + Pi + OAA by ACLY ; OAA \u2192 M(81) Gln \u2192 Glu \u2192 aKg \u2192 isocitrate \u2192 cis-aconitate \u2192 citrate, exiting the mitochondria \u2192 citrate + ATP + CoASH \u2192 acetyl-coA + ADP + Pi + OAA by ACLY; OAA \u2192 PEP by PCK1; PEP + GalNAc \u2192 GalNAc-1P + pyruvate. The terminal reaction is catalyzed by N-acetylgalactosamine kinase isoforms 1 or 2.(82) Gln \u2192 Glu \u2192 aKg \u2192 isocitrate \u2192 cis-aconitate \u2192 citrate, exiting the mitochondria \u2192 citrate + ATP + CoASH \u2192 acetyl-coA + ADP + Pi + OAA by ACLY; OAA \u2192 PEP by PCK1; PEP \u2192 pyruvate; the terminal reaction is catalyzed by tartrate-resistant acid phosphatases.(83) Gln \u2192 Glu \u2192 aKg \u2192 succinyl-CoA \u2192 succinate \u2192 fumarate \u2192 malate \u2192 pyruvate by ME2,3; pyruvate may exit the mitochondria through the MPC.(84) Gln \u2192 Glu \u2192 aKg; aKg transaminates with Asp forming Glu and OAA, by GOT2; OAA \u2192 pyruvate by FAHD1 , 2015; p(85) Gln \u2192 Glu \u2192 aKg; aKg transaminates with Asp forming Glu and OAA, by GOT2; OAA \u2192 Mal by MDH2; Mal exits the mitochondria; Mal \u2192 pyruvate by ME1 .(86) Gln \u2192 Glu \u2192 aKg; aKg transaminates with Asp forming Glu and OAA, by GOT2; OAA \u2192 Mal by MDH2; malate \u2192 pyruvate by ME2,3; pyruvate may exit the mitochondria through the MPC.+/K+ ATPase), 125 of them occur in the cytosol. Clearly, while it is imperative to prevent phosphofructokinase and hexokinase from ATP-dependent feedback inhibition and allow a high flux of glycolysis for the sake of generating intermediates shuttled toward other pathways, ATP is still needed for many other reactions. Crunching the numbers regarding cytosolic energetics is a daunting task, but what is definite is that a cell with nearly zero ATP production from glycolysis may not harbor ATP-consuming mitochondria, for whatever reason . This can be solved by maintaining the adenine nucleotide translocase in \u201cforward\u201d mode, i.e., providing ATP to the cytosol which is made by SUCL supported by glutaminolysis highlight that L-lactate can still be produced from pyruvate using carbon atoms originating from glucose or other substrates in cells with kinetically impaired pyruvate kinase and (ii) show that the mitochondria may contribute to cancer metabolism irrespective of oxidative phosphorylation by providing means of contributing to pyruvate production. Having said that, it is important to emphasize that none of the aforementioned reactions take into account the potential regulatory effects of metabolites on other reactions such as those occurring on PK by amino acids . In addiCC wrote and edited the manuscript.The author declares that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Nature Communications 10.1038/s41467-020-17123-6, published online 3 July 2020.Correction to: W\u201d should be corrected as \u201cl2 regularization of W\u201d; \u201cThe original version of this Article contained a typo in Eq. (1), in which the subscript of"}
+{"text": "Scientific Reports 10.1038/s41598-017-06835-3, published online 25 July 2017Correction to: This Article contains an error in Figure 4a and Figure 4b, where the units for \u2018Evans Blue exudation\u2019 were incorrectly given as \u2018mg/ml\u2019. The correct Figure 4 appears below as Figure"}
+{"text": "In the article titled \u201cMicrowave Tunneling and Robust Information Transfer Based on Parity-Time-Symmetric Absorber-Emitter Pairs\u201d , there w"}
+{"text": "Correction to: CVIR Endovasc (2019) 2:9https://doi.org/10.1186/s42155-019-0052-6\u2018In the published article (Salaskar et al. \u201cIRB approval not needed for this type of submission at our institution.\u201dshould read:\u201cInformed consent for publication of this case report and its accompanying images has been obtained from the patient\u201d"}
+{"text": "Scientific Reports 10.1038/s41598-020-74227-1, published online 14 October 2020Correction to: This Article contains errors.In Table 3, the Manufacturer for \u2018Elutax 3\u2019,\u201cAachen Resonance GmbH\u201dshould read:\u201cAR Baltic Medical UAB\u201d"}
+{"text": "Nature Communications 10.1038/s41467-020-18086-4, published online 26 August 2020.Correction to: The original version of this Article contained an error in Fig. 1j, where the correct Y-axis unit is \u201c\u03bcC\u201d instead of \u201cmC\u201d.This has been corrected in both the PDF and HTML versions of the Article."}
+{"text": "In the article titled \u201cEel's Head Powder Reduces Mild-Moderate Depression in Geriatric Individual: Result from Randomized Controlled Trial Study\u201d , there w"}
+{"text": "Cell Death & DiseaseCorrection to: 10.1038/s41419-019-2196-7 published online 06 January 2020This Article was originally published with the incorrect copyright line \u201cThe Authors\u201d. The correct copyright is \u201cUS Govt\u201d.The PDF and HTML versions of the Article have been modified accordingly."}
+{"text": "Scientific Reports 10.1038/s41598-020-78102-x, published online 03 December 2020Correction to: This Article contains an error. A Data Availability section was originally not included\u2014it should appear as below:"}
+{"text": "Scientific Reports 10.1038/s41598-019-40996-7, published online 14 March 2019Correction to: This Article contains a typographical error in the Methods section under subheading \u2018Nauplii production\u2019 where,\u201cThe content was then filtered (mesh size = 25 m) and fixed in Lugol (4%).\u201dshould read:\u201cThe content was then filtered (mesh size = 25 \u00b5m) and fixed in Lugol (4%).\u201d"}
+{"text": "Nature 10.1038/s41586-020-2561-9 Published online 05 August 2020Correction to: Ne between 500 thousand million years ago and 1 million years ago.\u201d, should have read: \u201ca rapid increase in Ne between 500 thousand years ago and 1\u00a0million years ago.\u201d. The original Article has been corrected online.In this Article, owing to an error during the production process, the text: \u201ca rapid increase in"}
+{"text": "Due to a production error, the funder \u201cPortuguese Foundation for Science and Technology (FCT),\u201d \u201cFCT-NSFC/0002/2016, PTDC/BIAANM/3484/2014, and CCMAR/Multi/04326/2019,\u201d and a PhD fellowship \u201cSFRH/BD/120040/2016\u201d to \u201cCarmen Sousa\u201d was erroneously omitted.The publisher apologizes for this mistake. The original article has been updated."}
+{"text": "The following sentence should read: \u201cUstekinumab exhibits a generally favourable treatment persistency profile in both biologic-na\u00efve and experienced patients, while SEC exhibits favourable persistency in biologic-naive but not in biologic-experienced patients compared with ADA\u201d instead of \u201cUstekinumab exhibits a generally favourable treatment persistency profile in both biologic-na\u00efve and experienced patients, while SEC exhibits favourable persistency in biologic-experienced but not in biologic-na\u00efve patients compared with ADA\u201d.This error has now been corrected online."}
+{"text": "Correction to: Antimicrob Resist Infect Control 9, 128 (2020)https://doi.org/10.1186/s13756-020-00782-xAfter publication of this article , it is r\u2018Torsten Feld\u2019 should be corrected to \u2018Torsten Feldt\u2019. The author name has thus been updated in this Correction.The original article has also been updated."}
+{"text": "In the article titled \u201cCorrigendum to \u201cAssociation between Serum Matrix Metalloproteinase- (MMP-) 3 Levels and Systemic Lupus Erythematosus: A Meta-analysis\u201d\u201d , an acknThe experiments for MMP-3 were supported by a grant from the Korean Society of Pediatric Nephrology."}
+{"text": "Correction to: J Exp Clin Cancer Res (2020) 39:8.https://doi.org/10.1186/s13046-019-1517-02-dependent mechanisms.\u201d, and the caption should refer to 25\u2009years and not 15\u2009years. Figure\u00a0In the original publication of this manuscript , Fig. 1 In addition, the following sentences have been adjusted to remove ambiguity and correct the record:\u2018Background\u2019 section, \u201cHypoxia Inducible Factor-1 (HIF-1), is an \u03b1/\u03b2 heterodimeric transcription factor that controls multiple oxygen-sensitive genes. In 1995 Semenza identified HIF-1\u03b1 as a basic-helix-loop-helix-PAS heterodimer regulated by cellular oxygen tension\u201d has been corrected to \u201cIn 1995, Semenza identified the Hypoxia Inducible Factor-1 (HIF-1) as a basic-helix-loop-helix-PAS \u03b1/\u03b2 heterodimeric transcription factor regulated by cellular oxygen tension.\u201d\u2018Background\u2019 section, \u201c\u2026 as evidenced by the increased number of papers published on this topic in the last 15\u2009years\u201d has been corrected to \u201c\u2026 as evidenced by the increased number of papers published on this topic in the last 25\u2009years.\u201dThe authors sincerely apologize for the inconvenience caused to the readers. The original article has been updated."}
+{"text": "December 2019 Issue, vol.113 (6), page 1138In Short Editrorial \u201cAdmission NT-ProBNP in Myocardial Infarction: an Alert Sign?\u201d, consider Lu\u00eds Beck-da-Silva as the correct form for the name of the author Lu\u00eds Beck da Silva."}
+{"text": "Correction to: BMC Anesthesiol 21, 60 (2021)https://doi.org/10.1186/s12871-021-01280-2non-emergent\u201d was changed to \u201cnon-emergency\u201d and the word \u201cthat\u201d found in 1st sentence of the 5th paragraph under Discussion section was deleted.Following publication of the original article , the autThe correct figures are as follows:The original article has been corrected."}
+{"text": "Scientific Reports 10.1038/s41598-020-68984-2, published online 22 July 2020Correction to: This Article contains an error in Table 1 in the Locus Tag column where,tonB1)\u201d.\u201cSLG_14330 (should read:tonB1)\u201d.\u201cSLG_14430 ("}
+{"text": "Scientific Reports 10.1038/s41598-020-59942-z, published online 20 February 2020Correction to: The Acknowledgements section in this Article was omitted. The Acknowledgements section should read:\u201cWe acknowledge support from the German Research Foundation (DFG) and the Open Access Publication Funds of Charit\u00e9 \u2013 Universit\u00e4tsmedizin Berlin.\u201d"}
+{"text": "Xrcc4 or Lig4, leads to massive neuronal apoptosis in the central nervous system (CNS) that correlates with embryonic lethality in mice. Inactivation of either Paxx, Mri or Dna-pkcs NHEJ gene results in normal CNS development due to compensatory effects of Xlf. Combined inactivation of Xlf/Paxx, Xlf/Mri and Xlf/Dna-pkcs, however, results in late embryonic lethality and high levels of apoptosis in CNS. To determine the impact of NHEJ factors on the early stages of neurodevelopment, we isolated neural stem and progenitor cells from mouse embryos and investigated proliferation, self-renewal and differentiation capacity of these cells lacking either Xlf, Paxx, Dna-pkcs, Xlf/Paxx or Xlf/Dna-pkcs. We found that XRCC4-like factor (XLF), DNA-dependent protein kinase catalytic subunit (DNA-PKcs) and paralogue of XRCC4 and XLF (PAXX) maintain the neural stem and progenitor cell populations and neurodevelopment in mammals, which is particularly evident in the double knockout models.Non-homologous end-joining (NHEJ) is a major DNA repair pathway in mammalian cells that recognizes, processes and fixes DNA damage throughout the cell cycle and is specifically important for homeostasis of post-mitotic neurons and developing lymphocytes. Neuronal apoptosis increases in the mice lacking NHEJ factors Ku70 and Ku80. Inactivation of other NHEJ genes, either Double-strand DNA breaks (DSBs) are common DNA damage events that threaten the stability of our genome. DSBs can be repaired by homologous recombination (HR), classical non-homologous end-joining and alternative end-joining ,2,3,4. HC-NHEJ involves recognition of the DSBs by Ku70/Ku80 heterodimer (Ku), which in turn recruits DNA-dependent protein kinase catalytic subunit (DNA-PKcs) to form a DNA-PK holoenzyme complex that protects free DNA ends. Assembly of DNA-PK triggers the autophosphorylation of DNA-PKcs, as well as DNA-PKcs-dependent phosphorylation of multiple other DNA repair factors . Ku faciXrcc4 [Lig4 [Ku70\u2212/\u2212 and Ku80\u2212/\u2212 knockout mice are viable, they present high levels of apoptosis in CNS and remarkable growth retardation [Genetic inactivation of Xrcc4 or Lig4 c4 [Lig4 in mice c4 [Lig4 ,10. Althardation ,12.Dna-pkcs\u2212/\u2212 [Xlf\u2212/\u2212 [Paxx\u2212/\u2212 [Mri\u2212/\u2212 [Dna-pkcsKD/KD) leads to Ku- and p53-dependent embryonic lethality, which correlates with high levels of apoptosis in the CNS [Dna-pkcs gene affects post-mitotic neurons. The apoptotic neurons were relatively rare in the proliferating ventricular zone [Dna-pkcs resulted in a neurological phenotype similar to observed earlier for mice lacking XRCC4 or LIG4 [Mice lacking NHEJ factors possess various phenotypes ,2,3,4. I-pkcs\u2212/\u2212 , Xlf\u2212/\u2212 [Xlf\u2212/\u2212 ,15, Paxx[Paxx\u2212/\u2212 ,18,19,20 [Mri\u2212/\u2212 knockout the CNS . Jiang elar zone ,23. Thus or LIG4 ,24, sugg or LIG4 . An impa or LIG4 . While pXlf and Dna-pkcs [Xlf and Paxx [Xlf and Mri [More recently, genetic interaction studies uncovered the importance of the NHEJ factors XLF, DNA-PKcs, PAXX and MRI in the development of immune and nervous systems and mouse development in general. Synthetic lethality was reported between Dna-pkcs ,27,28, tand Paxx ,17,19,20 and Mri . These s and Mri , no simiHere, using single and double knockout mouse models, we found that XLF, DNA-PKcs and PAXX are required to maintain pluripotency of neural stem cells, including aspects of self-renewal, proliferation, and differentiation to neurons and astrocytes.Dna-pkcs+/\u2212 [Xlf+/\u2212 [Paxx+/\u2212 [Dna-pkcs+/\u2212 and Xlf+/\u2212 mice were imported from Professor Frederick Alt lab . Paxx+/\u2212 mice were generated by Oksenych group .All experimental procedures involving mice were performed according to the protocols approved by the Comparative Medicine Core Facility at Norwegian University of Science and Technology . -pkcs+/\u2212 , Xlf+/\u2212 [Xlf+/\u2212 , and Pax[Paxx+/\u2212 mouse mo\u00aeG2 Green Master Mix or Taq 2x Master Mix Kit according to the manufacturer\u2019s instructions. Each reaction contained 50 ng of DNA and 0.8 \u00b5M of indicated primers was used to determine the mouse genotypes. DNA was isolated from ear punches by incubating overnight at 56 \u00b0C with 2% proteinase K in DNA lysis solution, containing 10 mM pH = 9.0 Tris, 1 M KCl, 0.4% NP-40 and 0.1% Tween 20. Next, the samples were heat-treated for 30 min at 95 \u00b0C. The PCR reactions were performed using GoTaq primers in a fin2 and 95% humidity. The neurospheres were dissociated every seventh day using 0.25% of trypsin in ethylenediaminetetraacetic acid (EDTA), as previously described in Castaneda-Zegarra et al. (2019) and Wang et al. (2010) [NSPCs were cultured as free-floating aggregates, also known as neurospheres ,30. Brie. (2010) ,30. For 2 and 95% humidity. At day 3, PrestoBlue\u2122 was added to final concentration of 10% in proliferation medium in each well, and the cells were incubated for 2 h at 37 \u00b0C, 5% CO2 and 95% humidity before measuring the fluorescence intensity using FLUOstar Omega system , 570 nm. The fluorescence intensity indicates the proportion of live cells. The NSPC proliferation assay was carried out on 6 replicates per clone, in 3 independent experiments.NSPCs\u2019 proliferation rates were analyzed using PrestoBlue\u2122 Cell Viability Assay following the manufacturer\u2019s protocol and as described in Xing and Oksenych (2019) . BrieflyFor self-renewal assay, we followed the protocol described earlier . BrieflyDifferentiation was induced in dissociated NSPCs, as described previously ,30. BrieWestern blots were performed using antibodies against XLF, PAXX, DNA-PKcs, and \u03b2-actin ,30.Xlf, Dna-pkcs or Paxx results in viable fertile mice without detectable phenotypes in the CNS [Xlf and Dna-pkcs [Xlf and Paxx [Xlf\u2212/\u2212, Paxx\u2212/\u2212, Dna-pkcs\u2212/\u2212, Xlf\u2212/\u2212Paxx\u2212/\u2212, and Xlf\u2212/\u2212Dna-pkcs\u2212/\u2212 mouse embryos (E15.5). NSPCs aggregated themselves form neurospheres within 7 days in culture. We used these neurospheres to characterize proliferation, self-renewal, and neural differentiation capacity of the NSPCs , while we recorded Xlf\u2212/\u2212Paxx+/+ (16) and Xlf\u2212/\u2212Paxx+/\u2212 (27) live-born mice (Xlf\u2212/\u2212Paxx\u2212/\u2212 (3), Xlf\u2212/\u2212Paxx+/+ (8) and Xlf\u2212/\u2212Paxx+/\u2212 (31) mice , while there were Xlf\u2212/\u2212Dna-pkcs+/+ (35) and Xlf\u2212/\u2212Dna-pkcs+/\u2212 (54) mice at day P30. However, live-born Xlf\u2212/\u2212Dna-pkcs\u2212/\u2212 mice were detected at days P1\u20132, in line with our previous observations [To obtain eviously , no liveorn mice A. By ana31) mice B, which earlier . Brieflyrvations ,27,28. WXlf\u2212/\u2212 ; WT vs. Paxx\u2212/\u2212 ; WT vs. Dna-pkcs\u2212/\u2212 ; WT vs. Xlf\u2212/\u2212Paxx\u2212/\u2212 ; WT vs. Xlf\u2212/\u2212Dna-pkcs\u2212/\u2212 ; Xlf\u2212/\u2212 vs. Paxx\u2212/\u2212 ; Xlf\u2212/\u2212 vs. Dna-pkcs\u2212/\u2212 ; Xlf\u2212/\u2212 vs. Xlf\u2212/\u2212Paxx\u2212/\u2212 ; Xlf\u2212/\u2212 vs. Xlf\u2212/\u2212Dna-pkcs\u2212/\u2212 ; Paxx\u2212/\u2212 vs. Dna-pkcs\u2212/\u2212 ; Paxx\u2212/\u2212 vs. Xlf\u2212/\u2212Paxx\u2212/\u2212 ; Paxx\u2212/\u2212 vs. Xlf\u2212/\u2212Dna-pkcs\u2212/\u2212 ; Dna-pkcs\u2212/\u2212 vs. Xlf\u2212/\u2212Paxx\u2212/\u2212 ; Dna-pkcs\u2212/\u2212 vs. Xlf\u2212/\u2212Dna-pkcs\u2212/\u2212 ; Xlf\u2212/\u2212Paxx\u2212/\u2212 vs. Xlf\u2212/\u2212Dna-pkcs\u2212/\u2212 .Detailed statistical analysis for NSPC proliferation, Xlf\u2212/\u2212 ; WT vs. Paxx\u2212/\u2212 ; WT vs. Dna-pkcs\u2212/\u2212 ; WT vs. Xlf\u2212/\u2212Paxx\u2212/\u2212 ; WT vs. Xlf\u2212/\u2212Dna-pkcs\u2212/\u2212 ; Xlf\u2212/\u2212 vs. Paxx\u2212/\u2212 ; Xlf\u2212/\u2212 vs. Dna-pkcs\u2212/\u2212 ; Xlf\u2212/\u2212 vs. Xlf\u2212/\u2212Paxx\u2212/\u2212 ; Xlf\u2212/\u2212 vs. Xlf\u2212/\u2212Dna-pkcs\u2212/\u2212 ; Paxx\u2212/\u2212 vs. Dna-pkcs\u2212/\u2212 ; Paxx\u2212/\u2212 vs. Xlf\u2212/\u2212Paxx\u2212/\u2212 ; Paxx\u2212/\u2212 vs. Xlf\u2212/\u2212Dna-pkcs\u2212/\u2212 ; Dna-pkcs\u2212/\u2212 vs. Xlf\u2212/\u2212Paxx\u2212/\u2212 ; Dna-pkcs\u2212/\u2212 vs. Xlf\u2212/\u2212Dna-pkcs\u2212/\u2212 ; Xlf\u2212/\u2212Paxx\u2212/\u2212 vs. Xlf\u2212/\u2212Dna-pkcs\u2212/\u2212 .Detailed statistical analysis for the relative neurosphere count per well , Xlf\u2212/\u2212 ; WT vs. Paxx\u2212/\u2212 ; WT vs. Dna-pkcs\u2212/\u2212 ; WT vs. Xlf\u2212/\u2212Paxx\u2212/\u2212 ; WT vs. Xlf\u2212/\u2212Dna-pkcs\u2212/\u2212 ; Xlf\u2212/\u2212 vs. Paxx\u2212/\u2212 ; Xlf\u2212/\u2212 vs. Dna-pkcs\u2212/\u2212 ; Xlf\u2212/\u2212 vs. Xlf\u2212/\u2212Paxx\u2212/\u2212 ; Xlf\u2212/\u2212 vs. Xlf\u2212/\u2212Dna-pkcs\u2212/\u2212 ; Paxx\u2212/\u2212 vs. Dna-pkcs\u2212/\u2212 ; Paxx\u2212/\u2212 vs. Xlf\u2212/\u2212Paxx\u2212/\u2212 ; Paxx\u2212/\u2212 vs. Xlf\u2212/\u2212Dna-pkcs\u2212/\u2212 ; Dna-pkcs\u2212/\u2212 vs. Xlf\u2212/\u2212Paxx\u2212/\u2212 ; Dna-pkcs\u2212/\u2212 vs. Xlf\u2212/\u2212Dna-pkcs\u2212/\u2212 ; Xlf\u2212/\u2212Paxx\u2212/\u2212 vs. Xlf\u2212/\u2212Dna-pkcs\u2212/\u2212 .Detailed statistical analysis for the relative size of neurospheres , Xlf\u2212/\u2212Paxx\u2212/\u2212 and Xlf\u2212/\u2212Dna-pkcs\u2212/\u2212 double knockout neurospheres were reduced when compared to WT and single-deficient Xlf\u2212/\u2212, Dna-pkcs\u2212/\u2212 or Paxx\u2212/\u2212 neurospheres D. Inactikgrounds D. We conXlf, Paxx or Dna-pkcs, and combined inactivation of Xlf/Paxx did not affect early neuronal differentiation based on average proportions of Tuj1-positive cells were plated on pre-coated 48-well plates and cultured with differentiation medium for 5 days. Neuronal and glial lineages were identified by immunolabeling using markers for early neurons (Tuj1), and astrocytes (GFAP). Inactivation of ve cells A. Combinof NSPCs A,C. The of NSPCs B,D.Xlf\u2212/\u2212 ; WT vs. Paxx\u2212/\u2212 ; WT vs. Dna-pkcs\u2212/\u2212 ; WT vs. Xlf\u2212/\u2212Paxx\u2212/\u2212 ; WT vs. Xlf\u2212/\u2212Dna-pkcs\u2212/\u2212 ; Xlf\u2212/\u2212 vs. Paxx\u2212/\u2212 ; Xlf\u2212/\u2212 vs. Dna-pkcs\u2212/\u2212 ; Xlf\u2212/\u2212 vs. Xlf\u2212/\u2212Paxx\u2212/\u2212 ; Xlf\u2212/\u2212 vs. Xlf\u2212/\u2212Dna-pkcs\u2212/\u2212 ; Paxx\u2212/\u2212 vs. Dna-pkcs\u2212/\u2212 ; Paxx\u2212/\u2212 vs. Xlf\u2212/\u2212Paxx\u2212/\u2212 ; Paxx\u2212/\u2212 vs. Xlf\u2212/\u2212Dna-pkcs\u2212/\u2212 ; Dna-pkcs\u2212/\u2212 vs. Xlf\u2212/\u2212Paxx\u2212/\u2212 ; Dna-pkcs\u2212/\u2212 vs. Xlf\u2212/\u2212Dna-pkcs\u2212/\u2212 ; Xlf\u2212/\u2212Paxx\u2212/\u2212 vs. Xlf\u2212/\u2212Dna-pkcs\u2212/\u2212 .Detailed statistical analysis for the neuron differentiation, Xlf\u2212/\u2212 ; WT vs. Paxx\u2212/\u2212 ; WT vs. Dna-pkcs\u2212/\u2212 ; WT vs. Xlf\u2212/\u2212Paxx\u2212/\u2212 ; WT vs. Xlf\u2212/\u2212Dna-pkcs\u2212/\u2212 ; Xlf\u2212/\u2212 vs. Paxx\u2212/\u2212 ; Xlf\u2212/\u2212 vs. Dna-pkcs\u2212/\u2212 ; Xlf\u2212/\u2212 vs. Xlf\u2212/\u2212Paxx\u2212/\u2212 ; Xlf\u2212/\u2212 vs. Xlf\u2212/\u2212Dna-pkcs\u2212/\u2212 ; Paxx\u2212/\u2212 vs. Dna-pkcs\u2212/\u2212 ; Paxx\u2212/\u2212 vs. Xlf\u2212/\u2212Paxx\u2212/\u2212 ; Paxx\u2212/\u2212 vs. Xlf\u2212/\u2212Dna-pkcs\u2212/\u2212 ; Dna-pkcs\u2212/\u2212 vs. Xlf\u2212/\u2212Paxx\u2212/\u2212 ; Dna-pkcs\u2212/\u2212 vs. Xlf\u2212/\u2212Dna-pkcs\u2212/\u2212 ; Xlf\u2212/\u2212Paxx\u2212/\u2212 vs. Xlf\u2212/\u2212Dna-pkcs\u2212/\u2212 .Detailed statistical analysis for the astrocyte differentiation, Overall, XLF possesses functional redundancy with PAXX during the NSPC self-renewal, and with DNA-PKcs during cell growth and neuronal differentiation .Xrcc4\u2212/\u2212, Lig4\u2212/\u2212, Xlf\u2212/\u2212Paxx\u2212/\u2212 and Xlf\u2212/\u2212Dna-pkcs\u2212/\u2212 mice NHEJ is ablated. Therefore, to avoid increased genomic instability during proliferation, developing neurons undergo programmed cell death via the p53-dependent pathway [Here, we demonstrated that NHEJ factors XLF, PAXX and DNA-PKcs support proliferation of NSPCs during early mammalian neurogenesis, when the proliferation rate is high and the likelihood of DNA damages arising from DNA replication machinery is increased. In pathway ,20,27,28Xlf\u2212/\u2212, Xlf\u2212/\u2212Paxx\u2212/\u2212 and Xlf\u2212/\u2212Dna-pkcs\u2212/\u2212 NSPCs is significantly lower than that in WT cells; proliferation of Xlf\u2212/\u2212Dna-pkcs\u2212/\u2212 NSPCs is lower than that in Paxx\u2212/\u2212 cells factors in cells? As one option, it was suggested that XLF can be complementary to the second factor having an alternative function . Alternatively, the proteins can be completely redundant key structural components of NHEJ machinery [An important question challenging current research is: what is the mechanism underlying genetic interaction between mutants) . Severalmutants) . More spmutants) . More remutants) .Another model suggests that there are two major structural complexes formed during the NHEJ. Ku70-Ku80-XRCC4-LIG4 form the flexible synaptic complex (FS). Next, DSBs are brought together through interaction of XRCC4, giving rise to two Ku-XRCC4-Lig4-DNA complexes. Both XLF and PAXX are required for transition from the flexible synaptic to the second synaptic complex, or close synapsis (CS). Here, XLF stabilizes the close synapsis to a greater extent. In this model, it was suggested that DNA-PKcs is not involved in the FS and CS formation ,50. MoreXLF is functionally redundant with PAXX during the neuronal stem and progenitor cells self-renewal and proliferation, and with DNA-PKcs during cell growth and neuronal differentiation. The NHEJ factors DNA-PKcs, PAXX and XLF are required for efficient early-stage development of neuronal stem and progenitor cells in mice. Additional NHEJ factors, such as MRI/Cyren, Ku70, Ku80, XRCC4 and LIG4, as well as multiple ATM-dependent DDR factors might have similar functions in neurodevelopment. Future studies will directly address the roles of NHEJ factors, including XLF, DNA-PKcs, PAXX and MRI, in learning, memory and mood regulations."}
+{"text": "In the article titled \u201cPreconditioning of Rat Bone Marrow-Derived Mesenchymal Stromal Cells with Toll-Like Receptor Agonists\u201d , there w"}
+{"text": "In the article titled \u201cPartial and Transient Clinical Response to Omalizumab in IL-21-Induced Low STAT3-Phosphorylation on Hyper-IgE Syndrome\u201d [The correct affiliation of Mario Alberto Ynga-Durand is \u201cLaboratorio de Inmunidad de Mucosas, Secci\u00f3n de Investigaci\u00f3n y Posgrado, Escuela Superior de Medicina, Instituto Polit\u00e9cnico Nacional, Mexico City, Mexico.\u201d The correct affiliation for Julio C\u00e9sar Alc\u00e1ntara-Montiel is \u201cDepartment of Molecular Biomedicine, CINVESTAV-IPN, Mexico City, Mexico.\u201dThe error was introduced during the production process of the article, and Hindawi apologises for causing this error in the article.The corrected list of affiliations is shown in the authors' information above."}
+{"text": "Scientific Reportshttps://doi.org/10.1038/s41598-020-63658-5, published online 24 April 2020Correction to: The original version of this Article contained an error in the title of the paper, where the expression \u201c2\u2032,3\u2032-cAMP\u201d was incorrectly given as \u201c2\u20323\u2032-cAMP\u201d.The original version of this Article also contained errors in the Abstract.\u201cIn cells lacking 2\u2032,3\u2032-cyclic nucleotide 3\u2032-phosphodiesterase , effects of IAA/DNP on exosome secretion were enhanced.\u201dnow reads:\u201cIn cells lacking 2\u2032,3\u2032-cyclic nucleotide 3\u2032-phosphodiesterase , effects of IAA/DNP on exosome secretion were enhanced.\u201dThese errors have now been corrected in the PDF and HTML versions of the Article and in the accompanying Supplementary Information file."}
+{"text": "In the article titled \u201cSelf-Compassion Demonstrating a Dual Relationship with Pain Dependent on High-Frequency Heart Rate Variability\u201d , the aut\u201cFigure 1: Analysis procedure of HF-HRV. For detailed information, please refer to the Methods section (derived from [37] which has been reproduced with permission from Elsevier).\u201d"}
+{"text": "Correction to: BMC Musculoskelet Disord 21, 303 (2020)https://doi.org/10.1186/s12891-020-03251-zFollowing publication of the original article , the autHealth- and work-related questions\u201cTo assess their self-rated general health, the following questions were used: How do you experience your [1] \u201cphysical health\u201d [2] \u201cmental health\u201d [3] \u201csocial environment\u201d [4] \u201cphysical environment\u201d and [5] \u201cwork ability\u201d? A seven-point scale with answers ranging from \u201cvery poor\u201d to \u201cexcellent, cannot be better\u201d was used. In the analyses, the answers were collapsed and coded into: poor (\u22643), good , or excellent (\u22656) according to Larsson et al. [16].\u201dThe original article has been"}
+{"text": "In the article titled \u201cInterleukin-9 Deletion Relieves Vascular Dysfunction and Decreases Blood Pressure via the STAT3 Pathway in Angiotensin II-Treated Mice\u201d , the aut"}
+{"text": "Scientific Reports 10.1038/s41598-017-08774-5, published online 16 August 2017Correction to: murG/MurG. The correct names are ypfP/YpfP.Due to an annotation error, the gene and protein name for the processive diacylglycerol beta-glucosyltransferase in this Article is listed as murG\u201d and \u201cMurG\u201d in the Article should read \u201cypfP\u201d and \u201cYpfP\u201d, respectively.Therefore, all instances of \u201c"}
+{"text": "Scientific Reports 10.1038/srep45314, published online 28 March 2017Correction to: This Article contains an error in Table 5.In the first row heading, the number of male patients,\u201cMale (n\u2009=\u200970)\u201d.should read:\u201cMale (n\u2009=\u200960)\u201d."}
+{"text": "In the article titled \u201cN-Acetyl Cysteine as a Novel Polymethyl Methacrylate Resin Component: Protection against Cell Apoptosis and Genotoxicity\u201d , there w"}
+{"text": "Scientific Reports 10.1038/s41598-019-54461-y, published online 09 December 2019Correction to: The Article contains an error in Table 3, entitled \u201cSemi-quantitative comparisons of CNS proteins by IHC staining.\u201dIn the \u201cTyrosine Hydroxylase\u201d row under the \u201cDM-resistant, with PFB\u201d column, the value of 7+ was erroneously omitted."}
+{"text": "Scientific Reports 10.1038/s41598-019-57269-y, published online 15 January 2020Correction to: The original version of this Article contained missing bar chart outlines and missing error bars in all figures.Additionally, in Figure 1 the figure key was incorrect. The individual groups for \u201cCrysophyceae\u201d, \u201cBacillariophyceae\u201d and \u201cDinophyceae\u201d are now in one group \u201cOthers\u201d.As a result, the legend of Figure 1 was incorrect.a (Chl a) concentration under full sunlight (UVR\u2009+\u2009PAR) and photosynthetically active radiation (PAR) and under ambient phosphorus (P) concentration and P-added conditions. Bars represent the mean values and error bars represent the standard deviation (SD) (n = 3).\u201d\u201cSestonic N:P ratio (on a molar basis), phytoplankton abundance (PA) and chlorophyll now reads:\u201cSestonic N:P ratio (on a molar basis), phytoplankton abundance (PA) and chlorophyll a (Chl a) concentration under full sunlight (UVR + PAR) and photosynthetically active radiation (PAR) and under ambient phosphorus (P) concentration and P-added conditions. In Fig. 1b, Others group includes Cryptophyceae, Bacillariophyceae and Dinophyceae, and represents a small proportion of the total phytoplankton abundance. Bars represent the mean values and error bars represent the standard deviation (SD) (n = 3).\u201dThis has now been corrected in the PDF and HTML versions of the original article."}
+{"text": "In the article titled \u201cFrom ACTH-Dependent to ACTH-Independent Cushing's Syndrome from a Malignant Mixed Corticomedullary Adrenal Tumor: Potential Role of Embryonic Stem Cells\u201d , there w"}
+{"text": "Scientific Reports 10.1038/s41598-019-41642-y, published online 05 April 2019Correction to: The Acknowledgements section in this Article is incomplete.\u201cWe acknowledge Franck Fortuna and Laurent Delbecq for access and support to the nano-focused ion beam at the CSNSM laboratory . We acknowledge support from the PETACom FET Open H2020, support from the French ministry of research through the ANR grants 2014\u201dIPEX\u201d, 2016 \u201cHELLIX\u201d, 2016 \u201cBISCOT\u201d, 2017 \u201cPACHA\u201d, the DGA RAPID grant \u201cSWIM\u201d and from the C\u2019NANO research program through the NanoscopiX grant, and the LABEX \u201cPALM\u201d (ANR-10-LABX-0039-PALM) through he grants\u201dPlasmon-X\u201d, \u201cSTAMPS\u201d and \u201cHILAC\u201d. We acknowledge the financial support from the French ASTRE program through the \u201cNanoLight\u201d grant. We aknowledge support from Conseil R\u00e9gional de Nouvelle-Aquitaine grant 2017 \u201cFLOWA\u201d. Financial support by the Deutsche Forschungsgemeinschaft, grant KO 3798/4-11 and from Lower Saxony through \u201cQuanten- und Nanometrologie\u201d (QUANOMET), project NanoPhotonik are acknowledged. J.B. acknowledges financial support from the Spanish Ministry of Economy and Competitiveness (MINECO), through the \u201cSevero Ochoa\u201d Programme for Centres of Excellence in R&D (SEV-2015- 0522) and the Fundaci\u00f3 Cellex Barcelona.\u201dshould read:\u201cWe acknowledge Franck Fortuna and Laurent Delbecq for access and support to the nano-focused ion beam at the CSNSM laboratory . We acknowledge support from the PETACom FET Open H2020, support from the French ministry of research through the ANR grants 2014\u201dIPEX\u201d, 2016 \u201cHELLIX\u201d, 2016 \u201cBISCOT\u201d, 2017 \u201cPACHA\u201d, the DGA RAPID grant \u201cSWIM\u201d and from the C\u2019NANO research program through the NanoscopiX grant, and the LABEX \u201cPALM\u201d (ANR-10-LABX-0039-PALM) through the grants\u201dPlasmon-X\u201d, \u201cSTAMPS\u201d and \u201cHILAC\u201d. We acknowledge the financial support from the French ASTRE program through the \u201cNanoLight\u201d grant. We acknowledge support from Conseil R\u00e9gional de Nouvelle-Aquitaine grant 2017 \u201cFLOWA\u201d. Financial support by the Deutsche Forschungsgemeinschaft, grant KO 3798/4-11 and from Lower Saxony through \u201cQuanten- und Nanometrologie\u201d (QUANOMET), project NanoPhotonik are acknowledged. J.B. acknowledges financial support from the Spanish Ministry of Economy and Competitiveness (MINECO), through the \u201cSevero Ochoa\u201d Programme for Centres of Excellence in R&D (SEV-2015- 0522), the Fundaci\u00f3 Cellex Barcelona, ERC Advanced Grant \u201cTRANSFORMER\u201d, Agreement No. 788218 and Laserlab-Europe (EU-H2020 654148).\u201d"}
+{"text": "Scientific Reports 10.1038/s41598-018-29959-6, published online 07 August 2018Correction to: This Article contains errors in Table 2 where the two columns headings have been reversed. \u2018CAD/CAM NAM\u2019 and \u2018RapidNAM\u2019 should read \u2018RapidNAM\u2019 and \u2018CAD/CAM NAM\u2019 respectively."}
+{"text": "Scientific Reportshttps://doi.org/10.1038/s41598-020-63949-x, published online 24 April 2020Correction to: This Article contains errors in the Methods section under subheading \u2018Surgical procedures\u2019.\u201c\u201dshould read:\u201c\u201dAdditionally, in the Methods section, the subheading \u201cPlasma Measurements\u201d should read \u201cPlasma and Spleen Measurements\u201d."}
+{"text": "Correction to: Orphanet J Rare Dis 15, 171 (2020)https://doi.org/10.1186/s13023-020-01391-ySport and Nutrition section of the manuscript whereby it was stated that:\u2018Approximately 20\u201330 g of protein equivalent from protein substitute should be ingested post exercise.\u2019The original article containe\u2026 20g of protein equivalent from protein substitute \u2026 \u2019 which has since been implemented in the original article.This sentence should instead have stated \u2018"}
+{"text": "Scientific Reports 10.1038/s41598-019-45909-2, published online 02 July 2019Correction to: This Article contains typographical errors in the \u2018Results and Discussion\u2019 section under subheading \u2018Refractive index as a function of salinity\u2019, where equation (8)\u201cshould read:\u201cand equation (10)\u201cshould read:\u201c"}
+{"text": "July 19, 2019,an equation appeared incorrectly because of an author error. In the \u201cInactivatingexponential integrate and fire model (iEIF)\u201d section of the Materials andMethods, Equation 1 should have stated \u201cfor V <\u03b8\u201d instead of \u201cfor V G mutation in the alpha 1,4-galactosyltransferase gene in a Chinese woman with habitual abortion: A case report\u201d,"}
+{"text": "Scientific Reports 10.1038/s41598-019-49102-3, published online 29 August 2019Correction to: The Acknowledgements section in this Article was omitted. The Acknowledgements section should read:\u201cThe author thanks \u0130lhami \u00dcnal and Aysun Say\u0131nt\u0131 for providing the measurement data made at Marmara Research Center of TUBITAK.\u201d"}
+{"text": "Translational PsychiatryCorrection to: 10.1038/s41398-020-00988-y published online 1 September 2020In the original article, Dr. Angela Ruban\u2019s name was misspelled as \u201cAangela Ruban\u201d. This has been corrected in the PDF, HTML and XML versions of this article."}
+{"text": "In the article titled \u201cSingle-Nucleotide Polymorphisms in XPO5 are Associated with Noise-Induced Hearing Loss in a Chinese Population\u201d , the inf"}
+{"text": "Scientific Reports 10.1038/s41598-020-59730-9, published online 20 February 2020Correction to: This Article contains a typographical error in the Introduction section where,\u201cIn addition, a canine IFN-\u03b1 formulation has been commercially available as a pharmaceutical agent for periodontal treatment in animals since 2014.\u201dshould read:\u201cIn addition, a canine IFN-\u03b1 formulation has been commercially available as a pharmaceutical agent for periodontal treatment in animals since 2014.\u201d"}
+{"text": "Scientific Data 10.1038/sdata.2017.165, published online 24 October 2017Correction to: In the Data Records section of this Data Descriptor, the data quality layer is incorrectly described as \u201craw data (0) or gap-filled (1)\u201d. This should instead read \u201craw data (1) or gap-filled (0)\u201d."}
+{"text": "In the article titled \u201cMucinous Histology, BRCA1/2 Mutations, and Elevated Tumor Mutational Burden in Colorectal Cancer\u201d ["}
+{"text": "Dr Zhang received award number 81800149. This article has been corrected.1In the Original Investigation titled \u201cPossible Transmission of Severe Acute Respiratory Syndrome Coronavirus 2 (SARS-CoV-2) in a Public Bath Center in Huai\u2019an, Jiangsu Province, China,\u201d"}
+{"text": "The Funding statement is incorrect. The correction Funding statement is as follows: This work was funded by Funda\u00e7\u00e3o de Amparo \u00e0 Pesquisa do Estado de S\u00e3o Paulo (FAPESP) research grants 2015/22308-2 (to CAM-F) and 2014/50489-9 (to MMC-S) and Conselho Nacional de Desenvolvimento Cient\u00edfico e Tecnol\u00f3gico (CNPq) grant306893/2018-5 (to CAM-F). The funders had no role in study design, data collectionand analysis, decision to publish, or preparation of the manuscript.The publisher apologizes for the error."}
+{"text": "Correction to: BMC Medical Genetics (2019) 20:171https://doi.org/10.1186/s12881-019-0911-yFollowing publication of the original article , the autNamely, in the affiliations list (under the \u2018Author details\u2019) affiliations \u20181\u2019 and \u20182\u2019 are interchanged; affiliation \u20181\u2019 should be \u20182\u2019, and vice-versa.Please find the corrected order of affiliations in this correction."}
+{"text": "As of release 47 (April 2020) it features 79 species and includes genome sequence, gene models, and functional annotation. Comparative analyses help reconstruct the evolutionary history of gene families, genomes, and components of polyploid genomes. Some species have gene expression baseline reports or variation across genotypes. While the data can be accessed through the Ensembl genome browser, here we review specifically how our plant genomes can be interrogated programmatically and the data downloaded in bulk. These access routes are generally consistent across Ensembl for other non-plant species, including plant pathogens, pests, and pollinators.Ensembl Plants ( As the world population increased by 145% in the last 60 years, the yields of cereals increased even more, while not needing much more land include http://plants.ensembl.org) is the Ensembl portal for plants and red algae [0][\u2018seq_region_name\u2019]: mapping = map_cds[\u2018mappings\u2019][0] # fetch VEP consequences for this region SNPgenome_coord = ( mapping[\u2018seq_region_name\u2019] + \u2018:\u2019 + str(mapping[\u2018start\u2019]) + \u2018-\u2019 + str(mapping[\u2018end\u2019]) ) ext = (\u201c/vep/\u201d+ species + \u201c/region/\u201d + SNPgenome_coord + \u201c/\u201d + SNPbase + \u201c?content-type=application/json\u201d) conseq = get_json(ext) # Print all the relevant info for the given variant if conseq[0][\u2018allele_string\u2019]: for tcons in conseq[0][\u2018transcript_consequences\u2019]: #... some lines omitted, check exampleREST.py values = for val in values: print print species = \u2018triticum_aestivum\u2019 transcript_id = \u2018TraesCS4B02G042700.1\u2019 SNPCDScoord = \u2018812\u2019 SNPbase = \u2018T\u2019 check_snp_consequencesRecipe R8 queries two endpoints (map/cds/ and info/vep/:species/region). The first one translates CDS to genomic coordinates, the second one retrieves the predicted consequences of the SNP in the coding sequence. This recipe can be used to annotate genomic variants in a given gene across germplasm panels, as done in :def che3.7seeseeThe Ensembl VEP tool can be used to predict the effect of variants on genes, transcripts, and protein sequences see. As menthttps://github.com/Ensembl/ensembl-vep.git.Clone the repository: git clone Navigate to the Ensembl VEP directory: cd ensembl-vep.Install Ensembl VEP: perl INSTALL.pl.SPECIES=arabidopsis_thaliana VEPCACHE=\u201c${SPECIES,,}*.tar.gz*\u201d URL=\u201c${SERVER}/${DIV}/release-${EGRELEASE}/variation/vep/ ${VEPCACHE}\u201d wget -c \u201c$URL\u201dDownload cache file with recipe F8tar xfz $VEPCACHE grep sift \u201c${SPECIES}/${EGRELEASE}_*/info.txt\u201dUnpack downloaded cache file and check SIFT support:seeEGRELEASE=47 VCFILE=ensembl-vep/examples/arabidopsis_thaliana.TAIR10.vcf VEPOPTIONS= ensembl-vep/vep \u201c${VEPOPTIONS[@]\u201dPredict effect of variants, 3.8http://plants.ensembl.org/Triticum_aestivum/Info/Strains?db=core and \u201cEnsembl REST API\u201d courses (https://www.ebi.ac.uk/training-beta/online/courses/ensembl-rest-api). Any data problems are reported on our blog http://www.ensembl.info/known-bugs. If the available documentation cannot answer your question, a helpdesk is provided (mail helpdesk@ensemblgenomes.org with your query).Documentation for Ensembl Plants, including FAQs, tutorials, and detailed information about the project, datasets, and pipelines that we run can be found under the \u201cDocumentation\u201d and \u201cWebsite help\u201d links at the top of every page. Detailed information for each species can be found on the species homepage. The EMBL-EBI train online website has several free courses on Ensembl, including the recently updated \u201cEnsembl Genomes (non-chordates): Quick tour\u201d ("}
+{"text": "Correction to: Bone Marrow Transplantation10.1038/s41409-019-0766-zy-axis title in this figure should read \u201c% CD34\u201d instead of \u201c% CD45\u201d.Following the publication of this article incorrect labelling of the axis in Fig."}
+{"text": "Correction to: BMC Anesthesiol 20, 248 (2020)https://doi.org/10.1186/s12871-020-01172-xFollowing publication of the original article , the autP\u2009<\u20090.001)\u201d It should be corrected to \u201cThe median number of attempts was lower in ultrasound-assisted group than landmark-guided group , P\u2009<\u20090.001).\u201dIn the Abstract section, the sentence \u201cThe median number of attempts was lower in ultrasound-assisted group (1 [1]) than landmark-guided group , In the Result section, paragraph\u00a07, the sentence \u201c(Table 5) A subgroup analysis was conducted for 12 patients with scoliosis (Table 6).\u201d should be corrected to \u201cA subgroup analysis was conducted for 12 patients with scoliosis (Table 6).\u201dThe original article has been updated."}
+{"text": "Scientific Reports 10.1038/s41598-019-42523-0, published online 15 April 2019Correction to: The original version of this Article contained errors.The author Tamer R Kosbar was incorrectly affiliated with \u201cPerron Institute for Neurological and Translational Science, Perth, 6150, Australia\u201d. The correct affiliation is listed below.Centre for Molecular Medicine and Innovative Therapeutics, Murdoch University, Perth, 6150, Australia.OMe/2\u2019-F mixmer 1\u201d and \u201c2-\u2018OMe/2\u2019-F mixmer 2\u201d respectively.There was also an error in Figure 3C, where the x-axis labels \u201cLNA/2\u2019-F mixmer 1\u201d and \u201cLNA/2\u2019-F mixmer 2\u201d were incorrectly given as \u201c2-\u2018The Acknowledgements section contained a typographical error where,\u201cThe authors thank Prof. Steve Wilton and Prof. Sue Fletcher for kindly providing H2K cells, Prithi Raguraman for assistance towards experiments, Yanying An and Jessica Cale for help towards figure preparation and Kristin West for informative discussion.\u201dwas incorrectly given as:\u201cThe authors thank Prithi Raguraman for assistance towards experiments, Yanying An and Jessica Cale for help towards figure preparation and Kristin West for informative discussion.\u201dIn addition, the Supplementary Information file contained an error in Supplementary Figure S3, where the labels of gel C2 were shifted slightly to the right.These errors have now been corrected in the PDF and HTML versions of the Article, as well as in the accompanying Supplementary Information file."}
+{"text": "Page 9: the following sentence should be added to the \u201cData availability\u201d paragraph: \u201cRaw next-generation sequencing data have been deposited in the NCBI SRA database under accession no. SRR11085733 to SRR11085741.\u201dVolume 5, no. 1, e00807-19, 2020,"}
+{"text": "These should have appeared as usual care: \u22120.3 ; intervention: \u22121.8 . This article has been corrected.1In the Original Investigation titled \u201cEffectiveness of Internet-Based Exercises Aimed at Treating Knee Osteoarthritis: the iBEAT-OA Randomized Clinical Trial,\u201d"}
+{"text": "Scientific Reportshttps://doi.org/10.1038/s41598-020-71511-y, published online 03 September 2020Correction to: This Article contains an error in Figure\u00a02: the y axis labels for panels (b) and (c) mistakenly use the unit \u201cpg/ml\u201d, when the correct unit is \u201cng/ml\u201d. As a result, the Figure legend,\u201cEffects of prenatal hormone manipulation and postnatal temperature manipulation (non-heated vs. heated nests) on offspring phenotype and physiology. (a) Nestling body mass growth pattern ; (b) plasma triiodothyronine (T3) concentration , (c) plasma thyroxine (T4) concentration , (d) mitochondrial density in blood cells , (e) blood total glutathione concentration and (f) lipid peroxidation . Heated nests were on average 2.75\u00a0\u00b0C warmer than non-heated ones. See text and ESM for details on statistics and sample sizes.\u201dshould read:\u201cEffects of prenatal hormone manipulation and postnatal temperature manipulation (non-heated vs. heated nests) on offspring phenotype and physiology. (a) Nestling body mass growth pattern ; (b) plasma triiodothyronine (T3) concentration , (c) plasma thyroxine (T4) concentration , (d) mitochondrial density in blood cells , (e) blood total glutathione concentration and (f) lipid peroxidation . Heated nests were on average 2.75\u00a0\u00b0C warmer than non-heated ones. See text and ESM for details on statistics and sample sizes.\u201dThe correct Figure\u00a02b-c and the correct Figure legend appear below as Figure"}
+{"text": "Correction to: BMC Pregnancy Childbirth 20, 724 (2020)https://doi.org/10.1186/s12884-020-03257-4Following publication of the original article , the autStatement \u201cYLZ and JCC contributed equally to this work.\u201d in the Authors\u2019 contributions section deleted. \u201cYulong Zhang and Jiacheng Chen contributed equally to this work.\u201d was inserted as article note.The original article has been"}
+{"text": "Correction to: Ital J Pediatr 46, 118 (2020)https://doi.org/10.1186/s13052-020-00881-wAfter publication of this article , it is n\u2018Melaku Desita\u2019 should be corrected to \u2018Melaku Desta\u2019. The author name has been thus updated in this Correction.The original article has also been updated."}
+{"text": "Correction to: BMC Biotechnol 19, 9 (2019)https://doi.org/10.1186/s12896-019-0501-2bold typeface.Following publication of the original article , the autThe correct figure and legends for Figs. In addition, the following textual errors were noted and corrected text is indicated below:\u2018Hind111\u2019 in \u2018Southern blot detection of transgenic plants\u2019 is HindIIIThe enzyme name \u2018microsomal-6 desaturase\u2019 is \u2018microsomal omega-6 desaturase\u2019.The word \u2018transgene\u2019 in the key of Fig. soybean\u2019 is \u2018Go Taq Flexi DNA polymerase\u2019.\u2018G\u00b0Taq Flexi DNA polymerase\u2019 within the results \u2018CRISPR-Cas9 construction for target mutagenesis in \u2018Tengo\u2019 buffer stated in Fig.\u00a03 legend is corrected to \u2018Tango\u2019 buffer."}
+{"text": "Here, we aimed to explore the genome-wide effects of PPAR\u03b3 on EVCTs and VCTs via treatment with the PPAR\u03b3-agonist rosiglitazone. EVCTs and VCTs were purified from human chorionic villi, cultured in vitro, and treated with rosiglitazone. The transcriptomes of both types of cells were then quantified using microarray profiling. Differentially expressed genes (DEGs) were filtered and submitted for gene ontology (GO) annotation and pathway analysis with ClueGO. The online tool STRING was used to predict PPAR\u03b3 and DEG protein interactions, while iRegulon was used to predict the binding sites for PPAR\u03b3 and DEG promoters. GO and pathway terms were compared between EVCTs and VCTs with clusterProfiler. Visualizations were prepared in Cytoscape. From our microarray data, 139 DEGs were detected in rosiglitazone-treated EVCTs (RT-EVCTs) and 197 DEGs in rosiglitazone-treated VCTs (RT-VCTs). Downstream annotation analysis revealed the similarities and differences between RT-EVCTs and RT-VCTs with respect to the biological processes, molecular functions, cellular components, and KEGG pathways affected by the treatment, as well as predicted binding sites for both protein-protein interactions and transcription factor-target gene interactions. These results provide a broad perspective of PPAR\u03b3-activated processes in trophoblasts; further analysis of the transcriptomic signatures of RT-EVCTs and RT-VCTs should open new avenues for future research and contribute to the discovery of possible drug-targeted genes or pathways in the human placenta.Trophoblasts, as the cells that make up the main part of the placenta, undergo cell differentiation processes such as invasion, migration, and fusion. Abnormalities in these processes can lead to a series of gestational diseases whose underlying mechanisms are still unclear. One protein that has proven to be essential in placentation is the peroxisome proliferator-activated receptor The human placenta serves as a critical bridge between mother and fetus and thus plays a crucial role in maternal and fetal physiology. The placenta is composed mainly of trophoblast cells, which derive from the outer layer of the blastocyst. Certain trophoblasts can be further distinguished as villous cytotrophoblasts (VCTs), whose development progresses along with that of the placenta. In the process of embryo implantation and placenta formation, VCTs that invade the maternal uterus are known as extravillous cytotrophoblasts (EVCTs); these anchor the chorionic villi. Other VCTs differentiate and fuse to form the syncytiotrophoblast layer, which has critical functions in gas and nutrient exchange between the fetus and the mother. Defects in EVCT invasion and VCT differentiation and fusion contribute to a series of gestational diseases, such as fetus-related miscarriage , preterm\u03b3 regulates many downstream target genes involved in lipid metabolism, cell differentiation, and tumorigenesis. PPAR\u03b3 functions by forming a heterodimer with the nuclear receptor retinoid X receptor \u03b1 (RXR\u03b1) and then binding to the PPAR response element (PPRE) of target genes [\u03b3 leads to defects in trophoblast differentiation and abnormal vasculogenesis in mice [\u03b3\u2212/\u2212 embryonic lethality can be rescued via PPAR\u03b3 transfection in the trophoblast [\u03b3 inhibited the invasion of first-trimester EVCTs, which implicates PPAR\u03b3 in the regulation of invasion of the decidua [\u03b3 can also induce the differentiation of VCTs isolated from term placenta [\u03b3 on the regulation of EVCTs and VCTs suggests that it plays a critical role in trophoblast invasion and differentiation but also that these effects differ dramatically among different subtypes of trophoblast. PPAR\u03b3 thus appears to play a crucial but poorly understood role in placental development.As a member of the ligand-dependent nuclear receptor superfamily, PPARet genes . It has in mice , 6, and phoblast . To be m decidua , 9. Furtplacenta . Taken t\u03b3 in biological processes, the PPAR\u03b3-agonist rosiglitazone has been widely applied to various tissues. In human placenta, rosiglitazone has been used for the study of placental metabolism [In vitro treatment with rosiglitazone has been shown to reverse inflammation of the placenta that is mediated by the PPAR\u03b3-NF-\u03baB pathway [\u03b3 pathway [\u03b3 [\u03b3 in both first-trimester EVCTs and term VCTs, as described in the research cited above on the influence of PPAR\u03b3 in trophoblast invasion and differentiation, was also accomplished by this PPAR\u03b3-agonist. Taken together, these studies show the enormous potential and benefit of rosiglitazone use in studies of the placenta.To explore the role of PPARtabolism , 12, inftabolism , 14, anttabolism , 16, andtabolism . In vitr pathway . Similar pathway . Other ithway [\u03b3 , 18. Fur\u03b3 is exclusively located in the nuclei of EVCTs during the first trimester and of VCTs throughout pregnancy [\u03b3 in these tissues and during these developmental periods. Therefore, our purpose here was to investigate the performance of PPAR\u03b3-activated trophoblasts by analyzing the transcriptomic signatures of rosiglitazone-treated EVCTs (RT-EVCTs) and VCTs (RT-VCTs). In this study, we isolated EVCTs and VCTs from first trimester and term human chorionic villi, respectively; cultured these cells with rosiglitazone; and quantified the transcriptome of each type of cell using microarray analysis, as shown in \u03b3, as well as on the specific genes and pathways targeted, and constitute an invaluable knowledge base for future research.In the human placenta, PPARregnancy \u201321. To dth gestational weeks and at term . Our ethics committee (CCPRB Paris Cochin no. 18-05) approved the collection of placentas from legal and voluntary terminations of pregnancy in the first trimester as well as of the normal term placentas.Placenta samples in this study were collected with patients' written informed consent, in compliance with the Declaration of Helsinki. Placenta tissues were collected from women with normal pregnancies during the 8-92+-, Mg2+-free Hanks' balanced salt solution for membrane removal. Mononucleated VCTs were isolated using digestion with trypsin-DNase and fractionation on a discontinuous Percoll gradient according to the protocol of Kliman et al. [4, 0.25% (wt/vol) trypsin powder (Difco), 100\u2009IU/mL penicillin, 25\u2009mM HEPES, and 100\u2009\u03bcg/mL streptomycin , and monitored under invert microscopy. The initial digested solution (consisting mostly of red blood cells) was discarded while the subsequent digested solution (clearly consisting of EVCTs) was retained. A discontinuous Percoll gradient (5\u201370% in 5% steps) was used to stratify the digested solutions; the middle layer (which included EVCTs) was retained for further analysis. The purified EVCTs were diluted with Dulbecco's modified Eagle's medium (DMEM), with 2\u2009mM glutamine, 100\u2009IU/mL penicillin, 100\u2009mg/mL streptomycin, and 10% decomplemented fetal calf serum (FCS), to a final density of 0.9 \u00d7 106 cells/mL in 60\u2009mm diameter plastic tissue culture dishes . In preparation for culturing, culture plates were coated with Matrigel\u2122 , then seeded with EVCTs at a density of 5 \u00d7 104 cells/cm2. To maintain continuous culture conditions, DMEM-F12 medium was used that contained 10% heat-inactivated fetal calf serum (FCS), Glutamax, 100\u2009\u03bcg/mL streptomycin, and 100\u2009IU/mL penicillin (Invitrogen). Plates were incubated for 2\u2009h at 37\u00b0C and 5% CO2; then, nonadherent EVCTs were rinsed off. At this point, fresh medium with or without 1\u2009\u03bcM rosiglitazone (Cayman) dissolved at 1\u2009mM in ethanol (treatment) or 0.1% ethanol (vehicle) was added for another 24\u2009h of incubation.As previously described , five efn et al. and Alsan et al. . In brie6 cells/mL were placed in a humidified incubator at 37\u00b0C under 5% CO2 for 3\u2009h. Nonadherent VCTs were rinsed off, fresh medium with or without 1\u2009\u03bcM rosiglitazone (Cayman) dissolved at 1\u2009mM in ethanol (treatment) or 0.1% ethanol (vehicle) was added, and dishes were incubated for another 24\u2009h.VCTs were isolated from five term placentas using the following procedures. Placentas were oriented with the maternal side facing upwards, and tissues were sampled at a depth of 1.5\u2009cm, half the distance from the edge to the centre. Villous tissues were rinsed, minced, digested, and purified using the steps described above. Culture dishes containing 0.9 \u00d7 10After 24\u2009h of incubation, RT-EVCTs and control EVCTs were harvested for microarray experiments. Cell RNA was extracted using TRIzol\u00ae reagents (Invitrogen) and purified using RNeasy\u00ae Mini Kits (Qiagen). RNA integrity and purity were examined with a 2100 Bioanalyzer with the RNA 6000 LabChip kit (Agilent Technologies). The U133A 2.0 GeneChip was used for gene expression detection according to the manufacturer's manual. From the 22,000 probe sets on the gene chip, 14,500 genes were detected.\u03bcg total RNA, for RNA amplification, and 3\u2009\u03bcg amplified RNA were then labeled with Cy-dye using the 26 CyScribe first-strand cDNA labeling kit (Amersham Biosciences). Amplified RNA from rosiglitazone-treated VCTs was labeled with Cy5, and amplified RNA from control VCTs was labeled with Cy3. A Microcon YM 30 column (Millipore) was used to purify and concentrate the labeled mixture (Cy5 and Cy3) after additional modifications with human cot-1, yeast tRNA, and poly A. The probes were denatured and the mixture was hybridized at 65\u00b0C overnight in a sealed humidified hybridization chamber, then rinsed with 1XSSC, 2XSSC, 0.03% SDS, and 0.2% SDS solutions for 2\u2009min each. Arrays were scanned with a GenePrix 4000A microarray scanner (Axon Instruments).RT-VCTs and control VCTs were likewise harvested after 24\u2009h of incubation for microarray experiments; RNA extraction, purification, and quality control were performed as described. The SHDZ gene chip (Stanford University) was used for gene detection as described in : for eacSince gene expression in EVCTs and VCTs was detected using different microarray platforms, different procedures were followed for data processing. For EVCT gene expression, which was quantified using the GeneChip application, data processing used the following filter thresholds: (i) percentage of missing data was no more than 50%, (ii) threshold to identify up- and downregulated genes for statistical comparison was set to a fold change of 1.5, (iii) maximum false discovery rate (FDR) was set to 5%, and (iv) fold change of one gene was equal to mean of treated groups minus mean of control groups and then divided by the minimum value from all (fold\u2009change = (mean\u2009(treated)\u2013mean\u2009(control))/minimum\u2009) . For VCTP values lower than 0.05 identified significant enrichment.ClueGO is a Cytoscape plug-in application for the functional classification of genes . Our anahttps://string-db.org) was used to analyze the interactions of DEG-encoded proteins and construct a PPI network. For this, the significant confidence score was set to greater than 0.4. Cytoscape was used to visualize and organize the PPI network. Proteins interacting with PPAR\u03b3 or RXR\u03b1 were indicated by different colors, and shapes were used to represent different groups. Binding site interactions between transcription factors and target genes were predicted by the Cytoscape plug-in iRegulon . Putative regulatory regions were defined as 10\u2009kb around transcription starting sites. The FDR was set to 0.1% to verify the interaction. The resulting chart was modified in Cytoscape using red to indicate upregulated genes and blue to indicate downregulated genes.The STRING database . Gene expression profiles of the rosiglitazone-treated (TRT) samples of EVCTs and VCTs were normalized (P < 0.05), of which 114 genes were upregulated (red) and 25 genes were downregulated (blue). In RT-VCTs, a total of 197 genes were identified as DEGs (P < 0.05), of which 181 genes were upregulated (red) and 16 genes were downregulated (blue) .The entire set of DEGs from RT-EVCTs and RT-VCTs was separated by cell type of origin and submitted independently to ClueGO with the default parameters. GO and pathway enrichment were set up for analysis. DEGs were classified by three ways: by GO biological process, GO molecular function, and GO cellular component. Enriched pathways were identified through a search of the KEGG and Reactome databases. The results are visualized in Among the DEGs identified in RT-EVCTs, the main GO biological processes represented were \u201cnegative regulation of epithelial cell apoptotic process,\u201d \u201clong-chain fatty-acyl-CoA biosynthetic process,\u201d and \u201cphosphatidylcholine biosynthetic process.\u201d For the same group of DEGs, the GO molecular functions were mainly classified as \u201calpha-tubulin binding,\u201d \u201cwide pore channel activity,\u201d \u201cpositive regulation of cold-induced thermogenesis,\u201d \u201cglutathione transferase activity,\u201d \u201clong-chain fatty acid binding,\u201d \u201cregulation of cell adhesion mediated by integrin,\u201d and \u201cpositive regulation of non-motile cilium assembly.\u201d Finally, the GO cellular component that was most associated with these DEGs was \u201cdesmosome.\u201d In the pathway enrichment analysis of RT-EVCTs, DEGs were mainly associated with the terms \u201cHIF-1 signaling pathway,\u201d \u201cp53 signaling pathway,\u201d \u201cglutathione metabolism,\u201d \u201cNRAGE signals death through JNK,\u201d \u201cPPAR signaling pathway,\u201d \u201cplasma lipoprotein assembly,\u201d and \u201cremodeling and clearance\u201d.In the analysis of GO terms associated with the RT-VCT dataset, DEGs were mainly involved in the following biological processes: \u201cregulation of receptor biosynthetic process,\u201d \u201cnegative regulation of nucleotide metabolic process,\u201d \u201ccyclic nucleotide biosynthetic process,\u201d and \u201cnegative regulation of B cell apoptotic process.\u201d The molecular functions of this same group of DEGs were mainly linked to \u201cnegative regulation of DNA replication,\u201d \u201cregulation of protein deacetylation,\u201d \u201cubiquitin-like protein conjugating enzyme activity,\u201d \u201cHsp90 protein binding,\u201d \u201cnegative regulation of intracellular protein transport,\u201d and \u201cpositive regulation of phosphoprotein.\u201d With respect to GO cellular components, DEGs were mainly associated with the terms \u201cNuRD complex,\u201d \u201ccellular metabolic compound salvage,\u201d and \u201cimmunological synapse.\u201d Finally, the pathway enrichment analysis of RT-VCTs revealed that DEGs were mainly involved in \u201ctight junction,\u201d \u201cregulation of HIF by oxygen,\u201d \u201cunfolded protein response,\u201d \u201cHIF-1 signaling pathway,\u201d \u201cnuclear receptor transcription pathway,\u201d and \u201cplasma lipoprotein remodeling\u201d.DEGs that were upregulated in RT-EVCTs and RT-VCTs were submitted separately to ClueGO following the same procedure as described above. The results are visualized in Instead, from the DEGs that were upregulated in RT-VCTs, no significant GO biological process was identified. In the classification of GO molecular functions, these DEGs were mainly linked with \u201cpositive regulation of cell cycle\u201d and \u201cmitotic DNA damage checkpoint,\u201d and the most significant GO cellular component was \u201ctranscription factor complex.\u201d In the pathway enrichment analysis, upregulated DEGs in RT-VCTs were mainly associated with the terms \u201cmTOR signaling pathway,\u201d \u201ccell cycle checkpoints,\u201d \u201cDNA repair,\u201d \u201cdevelopmental biology,\u201d \u201cmetabolism,\u201d and \u201cvesicle-mediated transport\u201d.DEGs that were downregulated in RT-EVCTs and RT-VCTs with respect to controls were submitted to ClueGO using the same procedure as described above. Results are visualized in Instead, DEGs that were downregulated in RT-VCTs were mainly involved in the GO biological processes \u201ccyclic nucleotide biosynthetic process,\u201d \u201cnegative regulation of nucleotide metabolic process,\u201d \u201cncRNA 3'-end processing,\u201d and \u201cO-glycan processing;\u201d the GO molecular functions \u201cnuclear receptor activity,\u201d \u201chistone deacetylation,\u201d \u201cregulation of TOR signaling,\u201d \u201cHsp90 protein binding,\u201d \u201cion channel regulator activity,\u201d \u201cnuclear envelope organization,\u201d and \u201cpeptidyl-threonine modification;\u201d and the GO cellular component \u201corganellar ribosome.\u201d In the pathway enrichment analysis of RT-VCTs, downregulated DEGs were mainly associated with the \u201cHIF-1 signaling pathway,\u201d \u201ctransfer of ubiquitin from E1 to E3,\u201d \u201ccell-cell communication,\u201d \u201ctranscription regulation of RUNX3,\u201d and \u201cformation of NR-MED1 coactivator complex\u201d.P values less than 0.05.Next, we wanted to determine the extent to which the cellular processes affected by rosiglitazone treatment were specific to either EVCTs or VCTs, and which instead were present in both tissue types. To do this, we characterized the up- and downregulated DEGs of RT-EVCTs and RT-VCTs separately using clusterProfiler, using information from the GO and KEGG databases, as well as the Disease Ontology (DO) and Disease Gene Network (DisGeNET) databases. Terms appearing in at least three columns were thought important in both, while terms appearing only in the RT-EVCT or RT-VCT dataset were labelled tissue-specific; significance was determined by In both RT-EVCTs and RT-VCTs, the GO biological processes \u201cregulation of endothelial cell migration,\u201d \u201cnon-canonical Wnt signaling pathway,\u201d \u201creceptor metabolic process,\u201d \u201cnegative regulation of protein phosphorylation,\u201d and \u201cmetabolism process\u201d appeared to play important roles. Instead, processes specific to RT-EVCTs included \u201cglycogen catabolic process,\u201d \u201ccellular carbohydrate catabolic process,\u201d \u201cembryo implantation,\u201d \u201cfatty acid derivative biosynthetic process,\u201d and \u201clong-chain fatty-acyl-CoA biosynthetic process,\u201d while those specific to RT-VCTs were \u201ccytoplasmic mRNA processing body assembly,\u201d \u201cribonucleoprotein complex biogenesis,\u201d \u201cpositive regulation of phosphoprotein phosphatase activity,\u201d and \u201cnegative regulation of nucleotide metabolic process\u201d .The GO molecular functions \u201cnuclear hormone receptor binding,\u201d \u201clong-chain fatty acid binding,\u201d \u201cfatty acid binding,\u201d \u201cnuclear activity,\u201d and \u201ctranscription factor activity\u201d seemed to be important in both RT-EVCTs and RT-VCTs. Functions specific to RT-EVCTs included \u201csteroid hormone receptor binding,\u201d \u201ceicosanoid receptor activity,\u201d \u201cphosphatidylinositol phosphate kinase activity,\u201d and \u201cfatty acid ligase activity,\u201d while those specific to RT-VCTs were \u201cWnt-activated receptor activity,\u201d \u201ccyclin-dependent protein kinase activity,\u201d \u201ctransferase activity,\u201d and \u201cubiquitin-specific protease activity\u201d .Both tissue types shared the significant GO cellular components \u201csmooth endoplasmic reticulum,\u201d \u201cruffle,\u201d \u201ctranscription factor complex,\u201d \u201capical plasma membrane,\u201d \u201clumen,\u201d and \u201ccell-cell junction.\u201d Instead, the component terms \u201cbeta-catenin destruction complex,\u201d \u201cM band,\u201d \u201cintegral component of lumenal side of endoplasmic reticulum membrane,\u201d and \u201cA band\u201d were found only in RT-EVCTs, while \u201cspliceosomal complex,\u201d \u201cWnt signalosome,\u201d \u201cpronucleus,\u201d \u201cmicrotubule end,\u201d and \u201cautophagosome membrane\u201d appeared to be specific to RT-VCTs .Through a search of the KEGG database, the following pathways appeared to be important in both tissue types: \u201cprotein processing in endoplasmic reticulum,\u201d \u201cglucagon signaling pathway,\u201d \u201cEpstein-Barr virus infection,\u201d \u201cPPAR signaling pathway,\u201d \u201cHIF-1 signaling pathway,\u201d \u201cprogesterone-mediated oocyte maturation,\u201d and \u201cmTOR signaling pathway.\u201d Pathway terms specific to RT-EVCTs included \u201cprimary immunodeficiency\u201d and \u201cfatty acid metabolism,\u201d while those specific to RT-VCTs were linked with \u201cbacterial invasion of epithelial cells\u201d and \u201cparathyroid hormone synthesis, secretion, and action\u201d .From the Disease Ontology database, the terms \u201cpreeclampsia,\u201d \u201cHELLP syndrome,\u201d \u201cspinocerebellar ataxia,\u201d \u201cfamilial hyperlipidemia,\u201d \u201clipid metabolism disorder,\u201d and \u201cmusculoskeletal system cancer\u201d were important in both EVCTs and VCTs. Terms specific to RT-EVCTs included \u201cbreast benign neoplasm,\u201d \u201cthoracic benign neoplasm,\u201d \u201clipomatous cancer,\u201d \u201camyloidosis,\u201d and \u201cvein disease,\u201d while those specific to RT-VCTs were \u201calveolar rhabdomyosarcoma,\u201d \u201costeopetrosis,\u201d \u201cgiant cell tumor,\u201d and \u201cgerm cell and embryonal cancer\u201d .From a search of the DisGeNET database, the terms \u201cpreeclampsia,\u201d \u201chypertrophic cardiomyopathy,\u201d \u201cimmunologic deficiency syndromes,\u201d \u201cdiabetes mellitus,\u201d \u201cvascular inflammations,\u201d \u201chematopoietic neoplasms,\u201d \u201cnon-alcoholic fatty liver disease,\u201d \u201cvascular disease,\u201d \u201cischemic cardiomyopathy,\u201d and \u201ctriploidy syndrome\u201d were significant for both tissue types. Instead, \u201cchronic neutrophilic leukemia,\u201d \u201cglycogen storage disease,\u201d and \u201cmyeloid, chronic, atypical, and BCR-ABL negative leukemia\u201d were specific to RT-EVCTs, and \u201calport syndrome\u201d and \u201caggressive non-Hodgkin lymphoma\u201d were specific to RT-VCTs .\u03b3 by rosiglitazone, we next attempted to predict (i) the protein-protein interactions (PPI) of PPAR\u03b3 with DEG-encoded proteins and (ii) the transcription factor-target gene (TF-TG) interactions of PPAR\u03b3 with DEG promoters. In RT-EVCTs ; concentrations of up to 100\u2009\u03bcM of this compound have been reported to activate only PPAR\u03b3 . Moreovinvasion . In this\u03b3 in trophoblasts, in this study, we also analyzed gene expression changes in VCTs using microarray profiling, and, through various approaches, identified the enriched processes that were linked with these DEGs in RT-EVCTs and RT-VCTs. We were thus able to compare the similarities and differences between EVCTs and VCTs affected by activated PPAR\u03b3. In total, there were 139 DEGs in RT-EVCTs and 197 DEGs in RT-VCTs, and these were associated with enrichment in more than 200 GO and pathway terms and NCoR (nuclear receptor corepressor), which block transactivation or the transcriptional coactivators CREB-binding protein (CBP), histone acetyltransferase p300 (p300), and PPAR-binding protein (PBP), which have the opposite effect [\u03b3 might affect the transcription complex formed by PPAR\u03b3 and RXR\u03b1, their cofactors or transcription partners, which could then lead to alterations in the regulation of different transcription circuits. Our results provided evidence for direct protein-protein and protein-promoter interaction with the PPAR\u03b3 complex. Among the proteins that appear to interact directly with PPAR\u03b3, several have been experimentally verified, including ANGPTL4 [\u03b3-MAPK-MMP signaling pathway. Commonly, phosphorylated PPAR\u03b3 stimulates the MAPK-activated pathway, leading to the activation of extracellular signal-regulated kinases (ERKs) that then induce the upregulation of matrix metalloproteinase (MMP) [\u03b3 activation. In addition to the direct target genes predicted here, the genes in secondary relationships should be paid equal attention in terms of potential regulation by other target genes. For example, our previous research has shown the key role of LOX1, through secondary interactions, in cytotrophoblast invasion [Finally, in order to facilitate study of the mechanisms behind the molecular interactions, we attempted to predict the protein-protein interactions between the DEGs recovered here and PPARe effect . We prop ANGPTL4 \u201361, ABCG ANGPTL4 , APOB [6 ANGPTL4 , CCNE1 [ ANGPTL4 , CPT1B [ ANGPTL4 , FABP4 [ ANGPTL4 \u201369, HMOX ANGPTL4 , and SER ANGPTL4 , 72. Manse (MMP) \u201375. Herese (MMP) , which iinvasion .\u03b3 activation in EVCTs and VCTs, highlighting extensive changes in gene expression and the biological processes and pathways affected. This study provides a broad perspective of PPAR\u03b3-influenced biological processes in trophoblasts and facilitates further study, particularly into potential drug-targeted genes or pathways in the human placenta.To our knowledge, our results reveal for the first time the widespread effects of PPAR"}
+{"text": "Couto, MD (Video).Please watch a video commentary on \u201cThe Combined Effect of Intravenous and Topical Tranexamic Acid in Liposuction: A Randomized Double-Blinded Controlled Trial\u201d"}
+{"text": "Scientific Reports 10.1038/s41598-019-47135-2, published online 23 July 2019Correction to: This Article contains errors in the Methods section under subheading \u2018Final molecular docking procedure\u2019.\u201cAutoDock Vina generates different ligands conformers using a Lamarkian genetic algorithm (LGA). The GA is implemented with an adaptive local method search\u201dshould read:\u201cAutoDock Vina generates different ligands conformers using a Broyden-Fletcher-Goldfarb-Shanno (BFGS) algorithm. The BFGS is implemented with an iterated local method search\u201d"}
+{"text": "Scientific Reports 10.1038/s41598-020-71435-7, published online 07 September 2020Correction to: This Article contains an error in Figure\u00a02, where a corruption has affected panels (d) and (e). The correct Figure\u00a02d, e appears below as Figure"}
+{"text": "In early-stage (cT1-2N0) oral cancer, occult lymph node metastases are present in 20\u201330% of patients. Accordingly, accurate staging of the clinically negative cervical nodal basin is warranted in these patients. Sentinel lymph node biopsy has proven to reliably stage the clinically negative cervical nodal basin in early-stage oral cancer. However, due to the limited resolution of conventional sentinel lymph node imaging, occult lymph node metastasis may be missed in particular circumstances. Therefore, technical developments are necessary to bring the diagnostic accuracy of sentinel lymph node biopsy, in early-stage oral cancer, to a higher level. This review evaluates novel sentinel lymph node imaging techniques for early-stage oral cancer, such as MR lymphography, CT lymphography, PET lymphoscintigraphy and contrast-enhanced lymphosonography. Their reported diagnostic accuracy is described and their relative merits, disadvantages and potential applications are outlined.99mTc]-labelled radiotracer followed by lymphoscintigraphy and SPECT-CT imaging. Based on these imaging results, the identified SLNs are marked for surgical extirpation and are subjected to histopathological assessment. The routine SLNB procedure has proven to reliably stage the clinically negative neck in early-stage oral squamous cell carcinoma (OSCC). However, an infamous limitation arises in situations where SLNs are located in close vicinity of the tracer injection site. In these cases, the hotspot of the injection site can hide adjacent SLNs and hamper the discrimination between tracer injection site and SLNs (shine-through phenomenon). Therefore, technical developments are needed to bring the diagnostic accuracy of SLNB for early-stage OSCC to a higher level. This review evaluates novel SLNB imaging techniques for early-stage OSCC: MR lymphography, CT lymphography, PET lymphoscintigraphy and contrast-enhanced lymphosonography. Furthermore, their reported diagnostic accuracy is described and their relative merits, disadvantages and potential applications are outlined.Sentinel lymph node biopsy (SLNB) is a diagnostic staging procedure that aims to identify the first draining lymph node(s) from the primary tumor, the sentinel lymph nodes (SLN), as their histopathological status reflects the histopathological status of the rest of the nodal basin. The routine SLNB procedure consists of peritumoral injections with a technetium-99m [ In early-stage cT1-2N0) oral squamous cell carcinoma (OSCC), occult lymph node metastases are present in 20\u201330% of patients, even when the status of the regional lymph nodes has been evaluated using combinations of advanced clinical diagnostic imaging modalities , magnetic resonance imaging (MRI) and/or computed tomography (CT)) -2N0 oral,5,6. AltThe concept of SLNB is based on the premise that lymph flow from the primary tumor travels sequentially to the sentinel lymph node (SLN) and then on to the other regional lymph nodes. Hence, the SLN is the lymph node that has the highest risk of harboring metastasis .The SLNB procedure aims to identify these first draining lymph node(s), as their histopathological status reflects the histopathological status of the rest of the nodal basin. Complementary nodal treatment should be performed in case of metastatic involvement of SLN(s). A negative SLNB, however, would justify a wait-and-scan policy .99mTc; \u03b3-emitter]-labelled radiotracer followed by planar dynamic and static lymphoscintigraphy including SPECT-CT (single photon emission computed tomography-computed tomography) imaging. Based on preoperative lymphoscintigraphy, the position of the SLN(s) is marked on the skin. The marked SLNs are surgically removed, using a portable \u03b3-probe for intraoperative localization of SLNs. Subsequently, the harvested SLNs are subjected to meticulous histopathological assessment using step-serial-sectioning and immunohistochemistry -phytate was administered peritumorally, followed by planar lymphoscintigraphy. Intraoperatively, SLNs were localized using a conventional \u03b3-probe and were submitted for individual histopathological assessment. All SLNs depicted on 10 min MR lymphography were in accordance with planar lymphoscintigraphy and \u03b3-probe findings. MR lymphography at 30 min and 24 h post-injection showed more uptake of SPIO in SLNs. However, MR lymphography 24 h post-injection also visualized higher echelon nodes (HEN). Besides, on MR lymphography SPIO-induced streak artifacts were seen around the injection site, but did not prevent identification of SLNs in vicinity of the tracer injection site. Histopathological assessment confirmed presence of iron in all harvested SLNs. In one patient nodal metastases were found in a harvested SLN; no additional metastases were seen in the neck dissection specimen. No follow-up results were reported in this study. In two patients, tissue swelling was observed at the injection site after administration of SPIO, which was attributed to the volume of SPIO injected.Mizokami et al. performed MR lymphography using SPIO in three tongue cancer patients (cT2N0), planned for tumor resection and ipsilateral elective neck dissection . Seven d99mTc]-nanocolloid and SPIO (Resovist), in total 0.5 mL, was peritumorally injected on the day before surgery. MR lymphography was acquired 2 h post-injection. Lymph nodes were assessed as SLN if they corresponded with SPECT images and exhibited signal loss on T2*-weighted sequences. SPECT-MRI fusion was successful in both OSCC patients and showed corresponding SLNs. Intraoperatively, SLNs were localized using a \u03b3-probe and were sent for individual histopathological assessment. SLN metastases were found in the contralateral neck of one OSCC patient, leading to a complementary contralateral neck dissection. No lymph node metastases were found in the neck dissection specimens of both patients. No follow-up results were reported.Maza et al. evaluated fusion of lymphoscintigraphic SPECT, SPIO MR lymphography and CT, for identification of SLNs in rather complex anatomical regions . FourteeAnother approach for high-resolution lymphography regards computed tomography (CT) lymphography using peritumoral administered iodine-based contrast agents. The use of CT lymphography has been investigated in several tumor types including breast, lung, esophageal, gastric and skin cancer ,61,62,63For reviewing the application of CT lymphography in early-stage OSCC, the systematic literature search led to retrieval of 112 PubMed indexed articles for CT lymphography, of which 17 were considered relevant ,70,71,72The case report of Saito et al. was the n = 31; oral tongue) was reported by Honda et al. , [60Co])-labelled radiotracer, generally used for conventional lymphoscintigraphy, PET lymphoscintigraphy requires a positron emitting isotope -labelled radiotracer -labelled nanocolloid [99mTc]-labelled nanocolloid was performed. The results of PET and SPECT lymphoscintigraphy were compared. PET lymphoscintigraphy was able to visualize all foci (n = 22) that were identified on SPECT-CT and even visualized 5 additional foci that were considered to be SLNs; all of which were located near the injection site of the primary tumor gas surrounded by a thin biocompatible shell generally made of phospholipids or proteins -labelled nanocolloid for SLN detection in OSCC patients, by visualizing all foci identified on SPECT-CT and even detecting 5 additional SLNs in vicinity of the tracer injection site. Additionally, in 80% of patients, lymphatic vessels were visualized and 2 lingual lymph nodes (7%) were identified as SLNs and a \u03b3-emitter could allow high-resolution preoperative PET lymphoscintigraphy and intraoperative localization of SLNs using the conventional portable \u03b3-probe. However, due to its half-life of 78.4 h, [89Zr] will interfere with the [99mTc]-signal [99mTc]-signal for intraoperative localization of SLNs using the conventional portable \u03b3-probe.To overcome the problems with the use of a PET-probe, a radiotracer labelled with both -signal . Therefo18F] is considered the ideal radioisotope for PET imaging owing to the low positron energy (0.64 MeV), providing high-resolution images. Furthermore, [18F] has a half-life of only 110 min [18F] relies on C\u2212F bond formation and is therefore difficult to label to currently used radiotracers for SLNB [18F]-FDG has been investigated in patients with cervical or endometrial cancer and in healthy subjects [18F]-FDG was not considered feasible due to significant tracer washout to systemic capillaries is a good candidate due to its half-life of only 68 min and its production with a [68Ga]-generator, which provides an opportunity to prepare PET-radiopharmaceuticals on site when needed is complicated, mainly due to instability of the bond between [68Ga] and nanocolloids [68Ga] has been successfully labelled to tilmanocept [68Ga] and [99mTc]. The resulting tri-modal agent provides high-resolution preoperative PET-images for SLN mapping and intraoperative localization of SLNs with both a conventional portable \u03b3-probe and fluorescence imaging manocept . Moreove imaging . This tr imaging ,110. AltCompared to conventional lymphoscintigraphy, lymphosonography has many advantages . ImportaHowever, lymphosonography has some disadvantages . Foremos6 phospholipid microbubbles with a mean bubble diameter of ~2.5 \u03bcm ) or or (\u201cHead and Neck\u201d) and (\u201cSentinel lymph node\u201d[MeSH]) or (\u201cLymph\u201d) and (\u201cNode\u201d) or (\u201cSentinel\u201d) and (\u201cNode\u201d) or (\u201cSentinel node\u201d) and (\u201cLymphography\u201d[MeSH]) or (\u201cLymphography\u201d) or (\u201cLymphangiography\u201d) and (\u201cMagnetic resonance imaging\u201d[MeSH] or (\u201cMagnetic\u201d) and (\u201cResonance\u201d) and (\u201cImaging\u201d) or (\u201cMagnetic resonance imaging\u201d) or (\u201cMRI\u201d) or (\u201cMR\u201d).For magnetic detection of SLNs using superparamagnetic iron oxide, the following keywords and MeSH terms were included: (\u201cMouth\u201d[MeSH]) or or (\u201cHead and Neck\u201d) and (\u201cSentinel lymph node\u201d[MeSH]) or (\u201cLymph\u201d) and (\u201cNode\u201d) or (\u201cSentinel\u201d) and (\u201cNode\u201d) or (\u201cSentinel node\u201d) and (\u201cIron\u201d[MeSH]) or (\u201cIron oxide\u201d) or (\u201cSPIO\u201d) or (\u201cSPION\u201d) and (\u201cMagnetics\u201d[MeSH] or (\u201cMagnetic\u201d) or (\u201cSuperparamagnetic\u201d) or (\u201csuperparamagnetic iron oxide\u201d).The following keywords and MeSH terms were included for CT lymphography: (\u201cMouth\u201d[MeSH]) or or (\u201cHead and Neck\u201d) and (\u201cSentinel lymph node\u201d[MeSH]) or (\u201cLymph\u201d) and (\u201cNode\u201d) or (\u201cSentinel\u201d) and (\u201cNode\u201d) or (\u201cSentinel node\u201d) and (\u201cLymphography\u201d[MeSH]) or (\u201cLymphography\u201d) and (\u201cCT\u201d) or (\u201cComputed Tomography\u201d) or (\u201cComputed\u201d) or (\u201cTomographic\u201d).The following keywords and MeSH terms were included for PET lymphoscintigraphy: (\u201cMouth\u201d[MeSH]) or or (\u201cHead and Neck\u201d) and (\u201cSentinel lymph node\u201d[MeSH]) or (\u201cSentinel lymph node\u201d) or (\u201cSentinel\u201d) and (\u201cNode\u201d) or (\u201cSentinel node\u201d) and (\u201cPositron Emission Tomography Computed Tomography\u201d[MeSH]) or (\u201cPositron-Emission Tomography\u201d[MeSH]) or (\u201cPET\u201d) or (\u201cPositron\u201d) or (\u201cPET/CT\u201d) or (\u201cPET-CT\u201d).The following keywords and MeSH terms were included for contrast-enhanced ultrasound lymphography: (\u201cMouth\u201d[MeSH]) or or (\u201cHead and Neck\u201d) and (\u201cSentinel lymph node\u201d[MeSH]) or (\u201cSentinel lymph node\u201d) or (\u201cSentinel\u201d) and (\u201cNode\u201d) or (\u201cSentinel node\u201d) and (\u201cContrast-enhanced\u201d) or (\u201cContrast-assisted\u201d) or (\u201cCEUS\u201d) or (\u201cMicrobubbles\u201d) or (\u201cSonovue\u201d) or (\u201cSonazoid\u201d) or (\u201cOptison\u201d) or (\u201cLevovist\u201d) or (\u201cImagent\u201d) or (\u201cImavist\u201d) or (\u201cDefinity\u201d) and (\u201cDiagnostic Imaging\u201d) or (\u201cDiagnostic\u201d) and (\u201cImaging\u201d) or (\u201cUltrasound\u201d) or (\u201cUltrasonography\u201d[MeSH]) or (\u201cUltrasonography\u201d) or (\u201cUltrasonics\u201d[MeSH]) or (\u201cUltrasonics\u201d).99mTc]-labelled radiotracers. Nevertheless, several of these novel techniques may already become valuable by facilitating more targeted radiotherapy; adjusting the radiation dose based on the tumor\u2019s individual lymphatic drainage pattern.Novel diagnostic imaging techniques for detection of SLNs have the potential to bring the diagnostic accuracy of SLNB to a higher level for all early-stage OSCC subsites. However, technical improvements and further research of these novel techniques are required, if they are to replace the conventional SLNB procedure with ["}
+{"text": "Evidence-Based Complementary and Alternative Medicine has retracted the article titled \u201cGinseng on Hyperglycemia: Effects and Mechanisms\u201d [hanisms\u201d , this arWu Z, Luo JZ, Luo L. \u201cAmerican ginseng modulates pancreatic beta cell activities.\u201d Chin Med. 2007 Oct 25; 2:11."}
+{"text": "Scientific Reports 10.1038/s41598-018-37925-5, published online 04 February 2019Correction to: The Article contains an error in the Acknowledgements section.\u201cDr. Garc\u00eda-Porta is supported by the European Union through the Marie-Sklodowska Curie IF program 2016\u201dshould read:\u201cThis project has received funding from the European Union\u2019s Horizon 2020 research and innovation programme under the Marie Sk\u0142odowska-Curie grant agreement No 747441\u201d"}
+{"text": "Following the publication of this article , the autTherefore, the fourth paragraph under Recommendation #24 should be amended to read:\u201cLanadelumab (Takeda), a fully human monoclonal antibody against kallikrein, takes approximately 70\u00a0days to reach a steady state concentration [110], and is therefore not recommended for STP\u2026\u201dSimilarly, the first paragraph under Recommendation #27 should be amended to read:\u201cLanadelumab is a subcutaneously injectable, fully human, anti-active plasma kallikrein monoclonal antibody (IgG1/\u03ba-light chain)\u2026\u201d"}
+{"text": "Scientific Reports 10.1038/s41598-020-63910-y, published online 22 April 2020Correction to: This Article contains an error in the p-value reported for scores in the Patient Health Questionnaire-4 (PHQ-4).As a result, in the Results section, under the subheading \u2018Comparison between self-defined vegetarians/vegans and omnivores\u2019,\u201cSimilarly, vegetarians/vegans had significantly higher eating disorder psychopathology in the EDE-Q8 \u2009=\u20092.619, p\u2009=\u20090.009), as well as slightly, but not significantly, higher depression scores in the PHQ-4 \u2009=\u20092.327, p\u2009=\u20090.21) scores compared to omnivores\u201dshould read:\u201cSimilarly, vegetarians/vegans had significantly higher eating disorder psychopathology in the EDE-Q8 \u2009=\u20092.619, p\u2009=\u20090.009), as well as significantly higher scores in the PHQ-4 \u2009=\u20092.327, p\u2009=\u20090.021) compared to omnivores\u201dFurthermore, the incorrect p-value is also reported in Table 4. In the \u2018Statistics\u2019 column for row \u2018PHQ-4, mean (SD)\u2019,\u201cp\u2009=\u20090.21\u201dshould read:\u201cp\u2009=\u20090.021\u201d"}
+{"text": "Scientific Reports 10.1038/s41598-019-48060-0, published online 08 August 2019Correction to: In Figure 1, the plots of \u2018Asendorf 2015\u2019, \u2018Asendorf 2016\u2019 and \u2018Triesdorf 2016\u2019 have incorrect Y-axis scale measurements. The correct Figure"}
+{"text": "Correction to: CVIR Endovasc (2018) 1:30https://doi.org/10.1186/s42155-018-0039-8\u2018In the published article (Venturini et al. \u201cNot applicable\u201dshould read:\u201cInformed consent for publication of this case report and its accompanying images has been obtained from the patient\u201d"}
+{"text": "CorrectionThe Open Respiratory Medicine JournalBCG Vaccine does not Protect Against COVID-191,* and Ghada E. Amin1Mohamed F. Allam45-46The Open Respiratory Medicine Journal, 2020, 14: The following changes have been made in the article:1- Second author\u2019s name has been changed as follows:\u2003\u2003\u2003\u2003\u2003\u2003Ghada E. Amin"}
+{"text": "Nature Communications 10.1038/s41467-020-20836-3, published online 23 February 2021.Correction to: The original version of this Article contained an error in Equation (1). The equation incorrectly included a \u201c+\u201d sign within the \u201cgrowth-climate interactions\u201d term. This has now been corrected in both the PDF and HTML versions of the Article."}
+{"text": "Scientific Reportshttps://doi.org/10.1038/s41598-020-65158-y, published online 21 May 2020Correction to: In Figure\u00a0In addition, a typesetting error led to the following sentence being incorrectly displayed as a sub-heading in the Introduction. It should be read as plain text.\u201cDifferent outcomes would support different theories\u201d"}
+{"text": "Nephrol Dial Transplant 2018; gfy351. doi: 10.1093/ndt/gfy351In Table 3 of the above article \u201cCompletion of RR\u201d has been corrected to \u201cNon-completion of RR\u201d."}
+{"text": "Scientific Reports 10.1038/s41598-019-50418-3, published online 25 September 2019Correction to: This Article contains\u00a0an error in the Methods section under subheading \u2018Embryo preparation\u2019.\u201cAll experiments were approved by the Animal Research Committee of SNFRI\u201dshould read:\u201cAll experiments were approved by the Animal Experiment Committee of SNFRI\u201d."}
+{"text": "A\u00a044-year-old man was admitted for an inferior ST-elevation myocardial infarction (STEMI), for which he underwent successful primary percutaneous coronary intervention of the occluded right coronary artery (RCA). Several hours later, ST-segment monitoring revealed a\u00a0strikingly regular pattern of intermittent inferior ST-elevation, confirmed by 12-lead electrocardiography (Fig.\u00a0Cyclic ST-elevation after acute coronary syndromes has been described previously . I\u00a0found"}
+{"text": "Trichosanthes tricuspidata Lour. Methanol Extract Exhibits Anti-Inflammatory Activity by Targeting Syk, Src, and IRAK1 Kinase Activity\u201d [In the article titled \u201cctivity\u201d . The aut"}
+{"text": "Correction to: Journal of Orthopaedic Surgery and Research 15, 390 (2020)https://doi.org/10.1186/s13018-020-01896-zData sources, part of Methods section as follows:Following publication of the original article , the aut\u201cThe main searching keywords included the following: AND .\u201dShould be changed to:\u201cThe main searching keywords included the following: AND AND (\u201costeoporosis\u201d).\u201d"}
+{"text": "The authors of \u201cTowards a cancer mission in Horizon Europe: recommendations\u201d : 1589\u20101615. PMID: 32749074) ["}
+{"text": "Scientific Reports 10.1038/s41598-020-60502-8, published online 27 February 2020Correction to: This Article contains an error in Figure 1 where,\u2018Serovar Typimurium\u2019should read:\u2018Serovar Typhimurium\u2019In addition, the bars corresponding to Serovar Typhimurium are missing.The correct Figure"}
+{"text": "Scientific Reports 10.1038/s41598-019-42019-x, published online 08 April 2019Correction to: This Article contains an error in the order of the Figures. Figures\u00a0In addition, there is an error in Figure 6B, where \u201cCor>WL\u201d should read \u201cCor20\u2009ng/mL\u201d.In this article and insertion to the caption to Fig 1 has been made. In the sentence beginning with \u201cSurvival curves...\u201d it now reads as \u201cSurvival curves showing MACE-free survival probability (significance of difference tested by log rank test)...\u201d.The original article has been corrected."}
+{"text": "Rio de Janeiro, March 20, 2019Dear readers,Association between Dietary Glycemic Index and Excess Weight in Pregnant Women in the First Trimester of Pregnancy : 04\u201310 DOI:10.1055/s-0038-1676096.), published online in Rev Bras Ginecol Obstet in December 2018, where it reads:In the Article https://orcid.org/0000-0001-7510-0485.ORCID ID is It should read:https://orcid.org/0000-0002-6145-2532.Edward Araujo J\u00fanior\u2019s ORCID is Rio de Janeiro, 20 de Mar\u00e7o de 2019Prezados leitores,Associa\u00e7\u00e3o entre o \u00edndice glic\u00eamico diet\u00e9tico e o excesso de peso em gestantes no primeiro trimestre de gesta\u00e7\u00e3o : 04\u201310 DOI: 10.1055/s-0038-1676096.), publicado online em Rev Bras Ginecol Obstet em Dezembro de 2018, onde se l\u00ea:No artigo https://orcid.org/0000-0001-7510-0485.ORCID ID is L\u00ea-se:https://orcid.org/0000-0002-6145-2532Edward Araujo J\u00fanior's ORCID is"}
+{"text": "Nature 10.1038/s41586-022-05084-3 Published online 17 August 2022Correction to: \u20133)\u201d. The errors have been corrected in the HTML and PDF versions of the article.In the version of this article initially published, in the legend for Fig. 3c, WSP-1 was erroneously denoted as magenta and F-actin as green. The corrected text now reads \u201cThick lines indicate the measured WSP-1 (green) and F-actin (magenta) nullclines\u201d. In addition, in the x-axis label of Fig. 4d, \u201cLifeact\u201d erroneously appeared as \u201cLifetime\u201d. The corrected label now reads \u201cLifeact concentration (IU \u03bcm"}
+{"text": "The correct study type is a cohort study. This article has been corrected.In the Original Investigation titled \u201cOne-Year Adverse Outcomes Among US Adults With Post\u2013COVID-19 Condition vs Those Without COVID-19 in a Large Commercial Insurance Database,\u201d"}
+{"text": "Correction to: International Microbiologyhttps://doi.org/10.1007/s10123-023-00332-6The authors regret that an unnecessary sentence* was embedded at the beginning of the \u201cResults and discussion\u201d section.* \u201cWe refer to 3 different parameters:(i) microbial ecology of the environment.(ii) nutritional habits.(iii) social habits\u201dThe original article has been corrected.\u00a0The authors apologize for any inconvenience caused."}
+{"text": "Scientific Reports 10.1038/s41598-023-42447-w, published online 14 September 2023Correction to: 2/CsSnI3/CuS\u201d was incorrectly given as \u201c28.76\u201d. Moreover, the device structure \u201cITO/PCBM/CsSnI3/CFTS/Se\u201d was incorrectly given as \u201cITO/PCBM/CsSnI3/CuSCN/Se\u201d.The original version of this Article contained errors in Table 7. The PCE (%) for \u201cITO/TiOThe incorrect and correct device structures and PCEs appear below.Incorrect:Correct:The original Article has been corrected."}
+{"text": "Mingrui Xia & Tao Wu are not co-first authors, but co-correspondents. The original article is now corrected\u201d."}
+{"text": "Correction to: Child's Nervous System (2022) 38:2181\u20132187 https://doi.org/10.1007/s00381-022-05632-2In this article, authors \u201cSaniya Mediratta\u201d and \u201cAswin Chari \u201c should be remove in author group field but included in \u201cDOLPHIN-UK Collaborators \u201c then listed at the bottom as corresponding authors.The original article has been corrected."}
+{"text": "Nature Communications 10.1038/s41467-023-40681-4, published online 19 August 2023Correction to: x axis incorrectly read \u2018Time (hrs)\u2019 rather than the correct \u2018Time (day)\u2019. The HTML has been updated to include a corrected version of the\u00a0The original version of this Article contained errors in Supplementary Fig.\u00a0Updated Supplementary Information"}
+{"text": "Scientific Reports 10.1038/s41598-020-74588-7, published online 15 October 2020Correction to: The original version of this Article contained errors in Table 1, where the value of \u2018iBAT ratio (%)\u2019\u00a0was erroneously stated as \u2018Liver ratio (%)\u2019 and \u2018Spleen ratio (%)\u2019 in the column \u2018WT\u2019.The correct and incorrect values appear below.Incorrect:Correct:The original Article has been corrected."}
+{"text": "Error in figure x-axis ("}
+{"text": "Correction to: BMC Infect Dis23, 237 (2023).10.1186/s12879-023-08181-4The original publication of this article contained 1 error:Mahsa Doomanlu\u201d should have been \u201cMahsa Doomanlou\u201d.The author name \u201cThe original article has been updated to correct this error."}
+{"text": "European Journal of Clinical Nutrition 10.1038/s41430-023-01311-w, published online 24 July 2023Correction to: In the original article, the funding grant number \u2018LGF21H020006\u2019 was given incorrectly as \u2018LGF21H090017\u2019. The original article has been corrected."}
+{"text": "Biomaterials Research (2023) 27:6410.1186/s40824-023-00402-wThe authors regret to report the grant number \u201c21871180\u201d in the original article [1] should instead state \u201c81872121\u201d."}
+{"text": "Medders, PharmD, PhD. This article has been corrected.1In the Original Investigation titled \u201cSecond-Line Pharmaceutical Treatments for Patients with Type 2 Diabetes,\u201d"}
+{"text": "Antimicrobial Resistance & Infection Control (2023) 12:8510.1186/s13756-023-01293-1The original article [1] contains a typo in the following sentence in the Methods section:\u201c[\u2026] hands using the hand scanner \u201dThe correct sentence should instead be as follows:\u201c[\u2026] hands using the hand scanner \u201d"}
+{"text": "Endoscopic submucosal dissection (ESD) is a minimally invasive surgery for laryngeal cancersA 72-year-old man presented with a 25\u200amm type 0-IIa lesion of the right piriform sinus , which Video\u20061\u2002Double-scope endoscopic submucosal dissection for superficial laryngeal cancer to preserve the superior laryngeal nerve.Proper traction with ds-ESD allowed visualization of the ibSLN and enabled nerve-sparing ESD . No dysEndoscopy_UCTN_Code_CCL_1AB_2AB"}
+{"text": "A 56-year-old man with a walled-off necrosis (WON) underwent endoscopic necrosectomy using a lumen-apposing metal stent (LAMS) , which Video\u20061\u2002Steps to close the fistula associated with the placement of a lumen-apposing metal stent using an endoscopic hand-suturing device.Usually, LAMS-associated fistulas are closed in their natural courseEndoscopy_UCTN_Code_CPL_1AH_2AG"}
+{"text": "Eye 10.1038/s41433-023-02560-6, published online 03 May 2023Correction to: The name \u2018William Paley\u2019 was incorrectly given as \u2018William Paisley\u2019 within the original text. The correct sentence should read, \u201cIts stunning intricacies became a fundamental argument for creationism, characterised by William Paley\u2019s infamous watchmaker analogy and even Charles Darwin conceded it \u201cabsurd\u201d to consider the eye a product of evolution .\u201dThe original article has been corrected."}
+{"text": "Discussion section, the phrase \u201cstrain MSA35\u201d appeared as \u201cstrain stocktickerMSA35.\u201dDue to a production error, in the third paragraph of the The corrected sentence appears below.F. oxysporum strain MSA35 represses the expression of pathogenicity genes in F. oxysporum .\u201d\u201cFor example, the sesquiterpene volatile \u03b1-humulenone emitted by non-pathogenic The publisher apologizes for this mistake. The original article has been updated."}
+{"text": "Funding statement. The statement \u201cThis work was funded by the project ACTINODEEPSEA POCI-01-0145-FEDER-031045 (PTDC/BIA-MIC/31045/2017) financed by FEDER\u2014Fundo Europeu de Desenvolvimento Regional funds through the COMPETE 2020\u2014Operacional Programme for Competitiveness and Internationalization (POCI), Portugal 2020, and by Portuguese funds through FCT\u2014Funda\u00e7\u00e3o para a Ci\u00eancia e a Tecnologia/Minist\u00e9rio da Ci\u00eancia, Tecnologia e Ensino Superior\u201d was included, but is incorrect. The correct Funding statement appears below.In the published article, there was an error in the"}
+{"text": "Correction: Breast Cancer 10.1007/s12282-023-01476-zIn the original publication of the article, the last author\u2019s name \u201cShinji Ohno\u201d was deleted and the first author name \u201cSumito Saeki\u201d was repeated instead during correction stage.\u00a0The original article has been updated.The publisher sincerely apologizes for any inconvenience this error may have caused."}
+{"text": "Title, the genus name \u201cClostridioides\u201d was misspelled as \u201cClostridiodes.\u201dIn the published article, there was an error. In the This sentence previously stated:Clostridiodes difficile toxin A inhibitor\u201d\u201cStructure-guided design of a potent The corrected sentence appears below:Clostridioides difficile toxin A inhibitor\u201d\u201cStructure-guided design of a potent Abstract section, first sentence. This sentence previously stated:A correction has been made to the HHs) bound to fragments of the combined repetitive oligopeptides domain of Clostridiodes difficile toxin A (TcdA) reveal that the C-terminus of VHH A20 was located 30 \u00c5 away from the N-terminus of VHH A26.\u201d\u201cCrystal structures of camelid heavy-chain antibody variable domains (VThe corrected sentence appears below:HHs) bound to fragments of the combined repetitive oligopeptides domain of Clostridioides difficile toxin A (TcdA) reveal that the C-terminus of VHH A20 was located 30 \u00c5 away from the N-terminus of VHH A26.\u201d\u201cCrystal structures of camelid heavy-chain antibody variable domains (VKeywords section. This keyword previously stated:A correction has been made to the Clostridiodes difficile\u201d\u201cThe corrected keyword appears below:Clostridioides difficile\u201d\u201cIntroduction section, first paragraph. This sentence previously stated:A correction has been made to the Clostridiodes difficile is a spore-forming Gram-positive bacterium capable of infecting humans and causing symptoms ranging from mild diarrhea to pseudomembranous colitis\u201d\u201cThe corrected sentence appears below:Clostridioides difficile is a spore-forming Gram-positive bacterium capable of infecting humans and causing symptoms ranging from mild diarrhea to pseudomembranous colitis\u201d\u201cAbbreviations section, page 2 Footnote. This abbreviation previously stated:A correction has been made to the Clostridiodes difficile toxin A\u201d\u201cTcdA, The corrected abbreviation appears below:Clostridioides difficile toxin A\u201d\u201cTcdA, Abbreviations section, page 2 Footnote. This Abbreviation previously stated:A correction has been made to the Clostridiodes difficile toxin B\u201d\u201cTcdB, The corrected abbreviation appears below:Clostridioides difficile toxin B\u201d\u201cTcdB, Figure 1 legend, first sentence. This sentence previously stated:A correction has been made to the Clostridiodes difficile TcdA.\u201d\u201cModel of the A20-A26 fusion protein bound to the CROPs domain of The corrected sentence appears below:Clostridioides difficile TcdA.\u201d\u201cModel of the A20-A26 fusion protein bound to the CROPs domain of The authors apologize for these errors and state that this does not change the scientific conclusions of the article in any way. The original article has been updated."}
+{"text": "Dear Editor, we would like to share ideas on the publication \u201cStroke seven hours after SARS-CoV-2 vaccination\u201d.The authors declare no conflicts of interest."}
+{"text": "Nature Communications 10.1038/s41467-022-35309-y, published online 20 December 2022Correction to: Tjp1], and occludin [Ocln]), were reduced in AR-DSS compared to their DSS counterparts .\u201d in the Results section. The corrected sentence reads \u201cIn addition, colonic interleukin (IL)\u22121\u03b2, IL-6, and tumor necrosis factor (TNF)-\u03b1, were higher in AR-DSS than their DSS counterparts, while the genes that regulate intestinal epithelial barrier function , were not reduced in AR-DSS compared to their DSS counterparts .\u201dIn this article the word \u2018not\u2019 was inadvertently omitted from the sentence \u201cIn addition, colonic interleukin (IL)\u22121\u03b2, IL-6, and tumor necrosis factor (TNF)-\u03b1, were higher in AR-DSS than their DSS counterparts, while the genes that regulate intestinal epithelial barrier function (zonula occludin-1 [ZO-1; 59\u201c in the Discussion section should instead cite reference 60. The corrected sentence reads \u201cThis finding is consistent with previous study that found CS did not induce colitis in mice60\u201d.In addition, the citation to reference 59 in the sentence \u201dThis finding is consistent with previous study that found CS did not induce colitis in miceThese errors have been corrected in the HTML and PDF versions of the Article."}
+{"text": "International Journal of Impotence ResearchCorrection to: 10.1038/s41443-022-00560-w, published online 28 March 2022In this article the heading for table 4 should have read \u201cUnivariate and multivariate logistic regression models for predicting the erection hardness score\u2009\u2265\u20093 at 6 months post-operation.\u201d The original article has been corrected."}
+{"text": "Nature Ecology & Evolution 10.1038/s41559-023-02151-4, published online 14 August 2023.Correction to: P. macinnesi (Amebelodontidae)\u201d previously read \u201cP. macinnesi (Gomphotheriidae)\u201d. The sentence \u201cLocality mean ordinated hypsodonty values were obtained from the NOW-database (data (https://nowdatabase.org/now/database/) by the NOW Community / CC BY 4.0), and from additional literature sources (see Supplementary Data 2)\u201d has been moved from the fourth paragraph of \u201cThe ratchet effect of stepwise evolution under varying climate\u201d to the second paragraph of \u201cStratigraphy and palaeonenvironments\u201d. In addition, in the legend for Extended Data Fig. 9, \u201cM3 (dext.)\u201d has been corrected from \u201cM3 (sin.)\u201d. These changes have been made to the HTML and PDF versions of the article.In the version of the article originally published, in the legend for Fig. 3i, \u201c"}
+{"text": "Neuropsychopharmacology 10.1038/s41386-023-01635-y, published online 30 June 2023Correction to: The original online version of this article was revised: In the sentence \u201cWhereas some treatments are already available through off-label prescriptions (i.e R-ketamine [2]), most novel and rapid treatments are legally or practicably restricted to the realm of clinical studies \u201d, \u2018R-ketamine\u2019 was corrected to \u2018ketamine\u2019. The original article has been corrected."}
+{"text": "Scientific Reportshttps://doi.org/10.1038/s41598-022-25022-7, published online 01 December 2022Correction to: The original version of this Article contained an error, where \u201c(CD\u2009\u2265\u2009IIIb)\u201d was incorrectly given as \u201c(CD\u2009>\u2009IIIb)\u201d in the Results section.As a result, in the Result, under the subheading \u2018Surgical outcomes\u2019,\u201cSerious adverse events (CD\u2009>\u2009IIIb) occurred in two patients (4.9%) in the CHASE cohort requiring reoperation;\u201dnow reads:\u201cSerious adverse events (CD\u2009\u2265\u2009IIIb) occurred in two patients (4.9%) in the CHASE cohort requiring reoperation;\u201dand,p value = 0.565), but severe complications (CD\u2009>\u2009IIIb) were observed more frequently in the retrospective cohort.\u201d\u201cIn comparison to the retrospective cohort, no difference was observed in complication rate , but severe complications (CD\u2009\u2265\u2009IIIb) were observed more frequently in the retrospective cohort.\u201d\u201cIn comparison to the retrospective cohort, no difference was observed in complication rate (The original Article has been corrected."}
+{"text": "Scientific Reports 10.1038/s41598-021-01878-z, published online 06 December 2021Correction to: The original version of this Article contained errors in Figure\u00a01 (d) label, where SI units were incorrect.\u201cCalcium (in mg/ml)\u201dnow reads:\u201cCalcium (in mg/dl)\u201d\u201cPhosphorus (in mg/ml)\u201dnow reads:\u201cPhosphorus (in mg/dl)\u201d\u201cIron in (mg/ml)\u201dnow reads:\u201cIron in (ug/dl)\u201dAnd in Figure\u00a01 (e) x-axis label,\u201c(Glucose in mg/ml)\u201dnow reads:\u201c(Glucose in mg/dl)\u201dAdditionally, the Article contained an error in Figure\u00a02 (g) y-axis label, where\u201cRelative cell viability\u201dnow reads:\u201cPercent of cells\u201dThe original Figure\u00a0The original Article has been corrected."}
+{"text": "Nature 10.1038/s41586-023-05813-2 Published online 22 March 2023Correction to: In the version of this article initially published, there was a typographical error in the seventh sentence of the Methods \u201cSurgeries\u201d subsection, where in the text now reading \u201cOne week after injection, a 0.5-mm-diameter gradient refractive index (GRIN) relay lens (Go!Foton) was implanted above the ADN ,\u201d the AP coordinate \u201c\u20131.05\u201d originally read \u201c1.8.\u201d The error has been corrected in the HTML and PDF versions of the article."}
+{"text": "Nature Communications 10.1038/s41467-019-11756-y, published online 02 September 2019Correction to: WT\u2019 instead of the original, incorrect \u2018OmpK35ST258\u2019, and \u2018OmpK36ST258\u2019 instead of the original, incorrect \u2018OmpK36WT\u2019. The correct version of the 3rd row (\u2018ICC8003\u2019) states \u2018OmpK35ST258\u2019 instead of the original, incorrect \u2018OmpK35WT\u2019, and \u2018OmpK36WT\u2019 instead of the original, incorrect \u2018OmpK36ST258\u2019. This has been corrected in both the PDF and HTML versions of the Article.The original version of this Article contained errors in Table 1. The correct version of the 2nd row (\u2018ICC8002\u2019) states \u2018OmpK35"}
+{"text": "Biomaterials Research (2023) 27:6410.1186/s40824-023-00402-wThe original article [1] contains an incorrect grant number in the Funding section. The grant number \u201821871180\u2019 should instead be \u201881872121\u2019."}
+{"text": "Correction: Translational Neurodegeneration (2023) 12:17 (2023) 10.1186/s40035-023-00348-yFollowing publication of the original article , the aut\u201cLose\u201d was mistakenly typed as \u201cloose\u201d in the original title.The correct title should read: Starburst amacrine cells, involved in visual motion perception, lose their synaptic input from dopaminergic amacrine cells and degenerate in Parkinson\u2019s disease patients.The original article has been"}
+{"text": "Journal of Plant Research10.1007/s10265-023-01446-8In the original publication of the article, titles of Tables 1, 4 were published incorrectly.In the title of Table 1, \u201cdifferentially expressed genes (DEGs)\u201d should read as \u201cdifferentially accumulated metabolites (DAMs)\u201d. Likewise, in the title of Table 4, \u201cdifferentially accumulated metabolites (DAMs)\u201d should read as \u201cdifferentially expressed genes (DEGs)\u201d."}
+{"text": "Correction: Biomark Res 7, 16 (2019)https://doi.org/10.1186/s40364-019-0168-9The ordinate scale is displayed incorrectly in Fig.\u00a0Fig.\u00a0P-value\u2019 columns of the \u2018Adjuvant chemotherapy\u2019 and \u2018Non-chemotherapy\u2019 rows that should have been deleted.Table The original article containsThe corrected Fig."}
+{"text": "Correction: Trials 23, 818 (2022)https://doi.org/10.1186/s13063-022-06725-8The original publication of this article containe1. The author name \u201cFoe\u201d should be \u201cDe Foe\u201d2. The affiliation of \u201cAlexander De Foe\u201d should be \u201cSchool of Educational Psychology and Counselling, Faculty of Education, Monash University, Clayton, Australia\u201dThe original publication has been updated."}
+{"text": "Correction: BMC Genomics 24, 201 (2023)10.1186/s12864-023-09287-4Following publication of the original article , it was Fig.\u00a03 Overlapping dinucleosome formation is stimulated by the nucleosome remodeler BRG1.\u201dThe caption of Fig.\u00a03 originally read: \u201cFig.\u00a03 Overlapping dinucleosome occupancy is dependent on the nucleosome remodeler BRG1.\u201dThe correct Fig.\u00a03 caption is: \u201cThe text describing the individual figure panels a-d was correct and remains unchanged. The original article has been updated."}
+{"text": "Publisher Correction: European Radiology10.1007/s00330-022-09239-8The original version of this article, published on 12 November 2022, unfortunately contained a mistake. The author\u2019s name Erik Thimansson was incorrectly given as \u2018Erick Thimansson\u2019. The original article has been corrected."}
+{"text": "Correction: World J Surg Onc 21, 133 (2023)https://doi.org/10.1186/s12957-023-03010-zFollowing publication of the original article , the autResults section, Literature search, 4th sentence \u201cpublished from 2012 to 2020,\u201d should be \u201cpublished from 2012 to 2021,\u201dIn tables 2 to 4, \u201cJeon HJ 2020\u201d should be \u201cJeon HJ 2021.\u201dThe original article has been updated."}
+{"text": "Correction to: Global Health Research and Policy (2023) 8:11 10.1186/s41256-023-00293-3Following publication of the original article [1], the authors reported that the fifth sentence in the last paragraph of the Background section needed to be updated.The original sentence was:hospital databases\u2019 or \u2018national health surveys\u2019, which possess evident restraints regarding reliability [10\u201312].\u201d\u201cAdditionally, most prior articles assessing cost-of-diabetes (COD) used secondary data acquired from \u2018The updated sentence is:hospital databases\u2019 or \u2018national health surveys\u2019, which possess evident restraints regarding reliability [10\u201311].\u201d\u201cAdditionally, most prior articles assessing cost-of-diabetes (COD) used secondary data acquired from \u2018The original article has been"}
+{"text": "Correction: Odontology 10.1007/s10266-022-00741-5In the original publication of the article, the author \u201cDaniel Pop\u201d was published as co-corresponding author and co-corresponding authorship is removed from \u201cDaniel Pop\u201d in this article.The original article has been updated."}
+{"text": "Correction to: Journal of Natural Medicines 10.1007/s11418-023-01730-wO-monodesmoside, are incorrect. The incorrect \u201coleanolic acid 3-O-glucuronide (18)\u201d has now been replaced with the correct \u201coleanolic acid 3-O-glucuronide (16)\u201d, and the incorrect \u201cmomordin lc (16)\u201d has now been replaced with the correct \u201cmomordin lc (14)\u201d.In the original version of this article published on 12 July 2023, Fig.\u00a0The original article has been corrected. The publisher regrets the error."}
+{"text": "Four right-handed, healthy subjects participated in a visual stimulation experiment. Subjects were viewing a dartboard-shaped flickering checkerboard stimulus, divided into 4 rings and 12 segments, defining 48 sectors in the visual field. Local contrast in each sector was continuously varying across four levels and updated every 3 s. To maintain fixation, subjects had to respond to a stimulus at the center of the visual field.During the entire experiment, in which subjects performed 8 runs, each consisting of 100 trials, brain activity was measured with functional magnetic resonance imaging (MRI). Using a 3-T Siemens Trio MRI scanner, 220 echo-planar images were acquired in each run, with a repetition time of 1.5 s and voxel size of 3 x 3 x 3 mm.The dataset is publicly available from OpenNeuro and additionally includes region of interest maps for visual areas V1 to V4, left and right, obtained from another retinotopic mapping experiment. As such, the dataset allows for accurate mapping of receptive fields and their properties across several stages of human visual cortex. Specifications Table\u2022Neuronal cells in visual cortex are characterized by receptive fields (RF) which means that individual neurons respond to stimulation in specific parts of the visual field. This concept has been extended to neuronal populations (pRFs) and voxels (vRFs) sampled with functional magnetic resonance imaging (fMRI). The present dataset allows to comprehensively map visual space to visual cortex by offering a tightly controlled visual stimulus and many data points in each individual subject.\u2022The dataset can be useful for three groups of people: Visual neuroscientists can investigate the data to learn more about the organization of early and later visual cortices \u2022The human visual system is one of the best-studied sensory systems in all of neuroscience. The concept of pRFs generalizes the idea of receptive fields to large groups of neurons which can be efficiently investigated with fMRI. Beyond the already established knowledge about the human visual system, the present dataset allows to research (i) higher-order interactions of receptive fields, i.e. integration of early visual representations in later stages of visual cortex; and (ii) sequence effects in visual perception, i.e. the influence of previous stimulation on the cortical response to current stimulation.1Human visual cortex is organized in a retinotopic fashion ,4. This 2\u2022\u201cdataset_description.json\u201d: a JSON file with basic information about the dataset\u2022\u201cparticipants.json\u201d: a JSON file containing subject-wise information \u2022\u201cparticipants.tsv\u201d: a TSV file specifying participant IDs and other participant information\u2022\u201ctask-CircRun_bold.json\u201d: a JSON file detailing functional MRI acquisition parameters\u2022\u201ctask-CircRun_events.json\u201d: a JSON file explaining trial-wise covariates\u2022\u201cREADME\u201d: a plain text file describing files contained in the datasetThe dataset is organized in the brain imaging data structure (BIDS) file format \u2022\u201cdata2BIDS_*_X.mat\u201d: MAT-files specifying batch editor jobs for Statistical Parametric Mapping, Version 12 (SPM12) used for converting the data to the BIDS format\u2022\u201cpreproc_X.mat\u201d a MAT-file specifying a batch editor job for preprocessing the data in SPM12 equivalent to the preprocessing procedure used in related work [2]Moreover, there is one sub-folder per subject in the main directory (e.g. \u201csub-AAA02\u201d) which contains the following files :\u2022\u201csub-X_T1w.json\u201d: a JSON file detailing structural MRI acquisition parameters\u2022\u201csub-X_T1w.nii\u201d: a skull-stripped, but otherwise unprocessed T1-weighted MPRAGE image of the subject in NIfTI format\u2022\u201csub-X_roi-Y-Z.nii\u201d: a NIfTI file specifying a binary mask for region of interest (ROI) analysis in preprocessed image space, when using the preprocessing routines mentioned above; X is the subject ID, Y gives the brain region and Z gives the brain hemisphere (left or right); an exemplary filename would thus be \u201csub-AAA02_roi-V4-left.nii\u201dIn each subject folder, there is also a sub-directory called \u201canat\u201d containing the following files:\u2022\u201csub-X_task-CircRun_run-YY_bold.nii\u201d: a 4D NIfTI file storing the unprocessed functional MRI scans from a single run obtained during the experiment of interest; X is the subject ID and Y corresponds to the run number (1 \u2264 Y \u2264 8); an exemplary filename would thus be \u201csub-AAA02_task-CircRun_run-01_bold.nii\u201d\u2022\u201csub-X_task-CircRun_run-YY_events.tsv\u201d: a TSV file storing onsets, durations and trial-wise modulator values for all trials from a single run\u2022\u201csub-X_task-CircRun_run-YY_events.xls\u201d: the same information, stored in tabular format as a Microsoft Office Excel spreadsheet\u2022\u201csub-X_task-CircRun_run-YY_events.mat\u201d: the same information, stored in SPM12\u2019s \u201cnames, onsets, durations\u201d format [7]In each subject folder, there is also a sub-directory called \u201cfunc\u201d containing the following files:\u2022\u201csub-X/data2BIDS_*_X.mat\u201d\u2022\u201csub-X/preproc_X.mat\u201d\u2022\u201csub-X/anat/sub-X_roi-Y-Z.nii\u201d\u2022\u201csub-X/func/sub-X_task-CircRun_run-YY_events.xls\u201d\u2022\u201csub-X/func/sub-X_task-CircRun_run-YY_events.mat\u201dNote that the following files are not required per BIDS standard and merely exist for convenience of the dataset consumers:33.1Eight right-handed, healthy subjects participated in the visual stimulation experiment. All subjects had normal or corrected-to-normal vision and gave written informed consent to participate in the fMRI experiment. From these eight subjects, we provide the data of four subjects who also took part in a retinotopic mapping experiment that was used for generating region of interest (ROI) images which are included in the dataset.3.2In both experiments , subjects were presented with a high-contrast, flickering circular checkerboard that was subdivided into 48 sectors see , Fig. 6 Intensity levels were logarithmically spaced between 0.1 and 1Intensity levels changed every 3 seconds and there was no inter-trial interval, yielding a continuous visual stimulation experiment. There were 8 runs of continuous stimulation and each run consisted of 100 trials, i.e. changes of local contrast in all sectors.Visual stimuli were projected onto a translucent screen at the rear of the scanner . The visual stimulus comprised a border along the vertical meridian resulting in completely independent visual stimulation in the two hemifields.During stimulation, subjects performed a fixation task at the center of the visual display. Landolt's C 3.3Magnetic resonance imaging (MRI) data were collected on a 3-T Siemens Trio with a 12-channel head coil. In each run of the visual stimulation experiment, 220 T2*-weighted, gradient-echo echo-planar images (EPI) were acquired at a repetition time TR\u00a0=\u00a01.5 s, echo time TE\u00a0=\u00a030 ms, flip angle \u03b1\u00a0=\u00a090\u00b0 and in 25 slices , yielding a voxel size of 3 x 3 x 3 mm. In each run of the retinotopic mapping experiment, 160 EPIs were acquired at TR\u00a0=\u00a02 s with 33 slices . Finally, for each subject, a T1-weighted magnetization-prepared rapid acquisition gradient-echo (MPRAGE) image was acquired with TR\u00a0=\u00a01.9 s, TE\u00a0=\u00a02.52 ms, flip-\u03b1\u00a0=\u00a09\u00b0 and 192 slices (matrix size: 256 x 256) with a voxel size of 1 x 1 x 1 mm.3.4Retinotopic mapping was implemented via a traveling wave method with a double wedge and an expanding ring stimulus ,11. Angu3.5We used FreeSurfer for gray matter segmentation of the anatomical images Written informed consent was obtained from all subjects before participating in the experiments. The study was approved by the ethics committee of the University of Leipzig, Germany (protocol number 953) and conducted according to the Declaration of Helsinki Joram Soch: Formal analysis, Writing \u2013 Original Draft; Kai G\u00f6rgen: Software, Formal analysis, Data curation; Jakob Heinzle: Conceptualization, Methodology, Software, Validation, Formal analysis, Investigation, Data curation, Project administration, Writing \u2013 review & Editing; John-Dylan Haynes: Conceptualization, Methodology, Resources, Supervision, Funding acquisition.The authors declare that they have no known competing financial interests or personal relationships that could have appeared to influence the work reported in this paper."}
+{"text": "Nature Communications 10.1038/s41467-022-34477-1, published online 09 November 2022Correction to: 2\u201d.The original version of this article contained an error in the Methods section which incorrectly omitted \u201cCord blood units were obtained from Anthony Nolan Cell Therapy Centre (ANCTC).\u201d From page 9, Method section, subsection \u201cGeneration of humanised mice and their treatment with Abatacept and IgG-(IL-2)This now reads \u201c\u2026.CD34 Microbead Kit UltraPure (Miltenyi Biotec). Cord blood units were obtained from Anthony Nolan Cell Therapy Centre (ANCTC). On some occasions\u2026\u201dThis has been corrected in both the PDF and HTML versions of the article."}
+{"text": "Correction: BMC Medical Research Methodology 23, 81 (2023)10.1186/s12874-023-01882-z39 to 37 covariates. In section \u201cMatching specification\u201d, 39 has been changed to 37 (fourth paragraph), and \u201ccount of CDC high-risk conditions, count of mental health conditions,\u201c has been removed (fifth paragraph).Following the publication of the original article , the autThe original article has been"}
+{"text": "Correction: European Archives of Oto-Rhino-Laryngology 10.1007/s00405-023-08025-6In the original publication of the article, the following author\u2019s name \u201cRadish Kumar Balasubramanium\u201d was published incorrectly as \u201cRadish Balasubramanium\u201d. The name is corrected in this article.The original article was updated."}
+{"text": "In fact, we wrote that \u201cpoly(PHL) was synthesized by a combination of ring-opening polymerizationof \u03b7-heptalactone (Scheme 1) and reversible addition\u2013fragmentationchain transfer (RAFT) polymerization, using diphenyl phosphate (DPP)as catalyst and 4-cyano-4-(((ethylthio)carbonothioyl)thio)pentanoic acid as initiator and chain transfer agent\u201d. Thesample has been, instead, synthesized, as described in our previouspaper,2 by ring-opening polymerizationof \u03b7-heptalactone using diphenyl phosphate as catalyst and 4-cyano-4-(((ethylthio)carbonothioyl)thio)pentanoicacid as initiator.We have realized thatin several parts of the paper and in the 1 and the corresponding Supporting Information should be corrected as follows:The following sentences in our paperAbstract,lines 2\u20134. The sentence \u201cPHL has been synthesizedby a combination of ring-opening polymerization of \u03b7-heptalactoneand reversible addition\u2013fragmentation chain transfer polymerizationusing diphenyl phosphate as catalyst.\u201d should be replaced with\u201cPHL has been synthesized by ring-opening polymerization of\u03b7-heptalactone using diphenyl phosphate as catalyst.\u201d40 PHL of low polydispersityof the molecular mass has been synthesized by ring-opening polymerizationof \u03b7-heptalactone combined with reversible addition\u2013fragmentationchain transfer (RAFT) polymerization using diphenyl phosphate as catalyst.\u201dshould be replaced with \u201cIn our recent previous report,40 PHL of low polydispersity of the molecular mass has beensynthesized by ring-opening polymerization of \u03b7-heptalactoneusing diphenyl phosphate as catalyst.\u201dIntroduction, page 4154, left column, lines 23\u201327. The sentence\u201cIn our recent previous report,40 by a combination of ROP of \u03b7-heptalactone(Scheme 1) and reversible addition\u2013fragmentation chain transfer(RAFT) polymerization, using diphenyl phosphate (DPP) as catalystand 4-cyano-4-(((ethylthio)carbonothioyl)thio) pentanoicacid as initiator and chain transfer agent...\u201d should be replacedwith \u201cPHL was synthesized as described in our previous report,40 by ROP of \u03b7-heptalactone (Scheme 1) using diphenylphosphate (DPP) as catalyst and 4-cyano-4-(((ethylthio)carbonothioyl)thio)pentanoic acid as initiator\u201d.Experimental section,page 4154, left column, lines 1\u20135.The sentence \u201cPHL was synthesized as described in our previousreport,S2 by a combination of ring-opening polymerization (ROP) of \u03b7-heptalactone and reversible addition\u2013fragmentationchain transfer (RAFT) polymerization, using diphenyl phosphate (DPP)as catalyst and 4-cyano-4-(((ethylthio)carbonothioyl)thio)pentanoic acid as initiator and chain transfer agent...\u201d shouldbe replaced with \u201cPoly (PHL) was synthesizedas described in our previous report,S2 by ring-openingpolymerization (ROP) of \u03b7-heptalactone using diphenylphosphate (DPP) as catalyst and 4-cyano-4-(((ethylthio)carbonothioyl)thio)pentanoic acid as initiator\u201d.Supporting Information,page S2. The sentence \u201cPoly(PHL) was synthesized as described in our previous report,Supporting Information is attached.A corrected version ofthe"}
+{"text": "Nature Communications 10.1038/s41467-023-38841-7, published online 31 May 2023Correction to: The original version of this Article contained an inaccuracy in the Methods section \u201cCyTOF analysis\u201d.g, 5\u2032) prior to re-suspending in PBS with 4-element EQ normalization beads (Standard BioTools: 201078)\u201d should have read \u201cCells were then washed twice by centrifuging through PBS at 800\u2009\u00d7\u2009g, 5\u2019 prior to re-suspending in Maxpar Cell Acquisition Solution (Standard BioTools: 201241) with 4-element EQ normalization beads (Standard BioTools: 201078)\u201d.The original sentence \u201cCells were then washed twice by centrifuging through PBS (800\u2009\u00d7\u2009This has now been corrected in the PDF and HTML versions of the Article."}
+{"text": "Correction to: Graefe\u2019s Archive for Clinical and Experimental Ophthalmology10.1007/s00417-022-05952-8 In the published version of this article, two author names contained some errors.Anne R\u00fcbsam\u201d and Josefine Urban should be named \u201cJosefine Lehmann\u201d.Anne Lehmann should be named \u201cThis is being corrected in this publication."}
+{"text": "Scientific Reports 10.1038/s41598-023-37795-6, published online 04 July 2023Correction to: The original PDF version of this Article contained a repeated error where, \u201cDensity Functional Theory (DFT)\u201d was incorrectly given as \u201cdistribution function theory (DFT)\u201d in the Abstract and Introduction sections.The original Article has been corrected."}
+{"text": "Eye 10.1038/s41433-021-01614-x, published online 11 June 2021Correction to: Figure 1 illustration had an error\u2014in the second panel (the PhNR waveform), the \u2018a\u2019 and \u2018b\u2019 labels were the wrong way around.The original article has been corrected"}
+{"text": "Nature Communications 10.1038/s41467-023-42092-x, published online 28 November 2023Correction to: t\u2009=\u20094.77, p\u2009<\u20090.001)\u2019 instead of \u2018At the group level, the mean regression coefficient (across subjects) was significantly different from 0 .\u2019\u00a0The original article has been corrected.The original version of this article contained an error in the \u201cResults\u201d section. A sentence incorrectly read \u2018At the group level, the mean regression coefficient (across subjects) was significantly different from 0 (two sample t test,"}
+{"text": "Scientific Reports 10.1038/s41598-023-29701-x, published online 14 February 2023Correction to: The Supplementary Information published with this Article contained an error.In \u201cAppendix C\u201d, Figures C1 and C2, the label of the Y-axis \u201cConcentration (ng/L)\u201d was incorrectly given as \u201cConcentration mg/l\u201d.This error has now been corrected in the Supplementary Information file that accompanies the original Article.Supplementary Information."}
+{"text": "We hereby declare that three errors were detected after publication of the article titled \u201cThe Eysenck Personality Questionnaire Revised \u2013 Abbreviated (EPQR-A): psychometric properties of the Brazilian Portuguese version\u201d (doi: https://doi.org/10.47626/2237-6089-2021-0342), in Trends in Psychiatry and Psychotherapy volume 45 (e20210342).First, affiliation no. 6 should read \u201cCentro de Investiga\u00e7\u00e3o em Psicologia\u201d (rather than \u201cCentro de Pesquisa em Psicologia\u201d).Second, the legend of Figure 1 should read \u201cPath diagram for the EPQR-A CFA model\u201d .Finally, the second subtitle of the Results section, \u201cInternal consistency\u201d, had been erroneously omitted and presented as figure legend."}
+{"text": "Correction: BMC Vet Res 19, 52 (2023).10.1186/s12917-023-03593-5.Following publication of the original article , the aut2S release half-lives, there were no remarkable differences in the Gly- and Leu-NTA\u2019s effects on sperm function.\u201d\u201cMoreover, despite their different H\u201d should be \u201cMoreover, despite their different HThe original article has been corrected."}
+{"text": "Scientific Reports 10.1038/s41598-022-18085-z, published online 19 August 2022Correction to: The Funding section in the original version of this Article was omitted. The Funding section now reads:\u201cThis work received \u2018Ricerca\u00a0Corrente\u00a02023\u2019 funding from the Italian Ministry of Health to cover publication costs.\u201dThe original Article has been corrected."}
+{"text": "Scientific Reports 10.1038/s41598-023-31772-9, published online 23 March 2023Correction to: The original version of this Article contained errors in Table 6, where the \u201cFP\u201d and \u201cFN\u201d values were interchanged. The correct and incorrect values appear below.Incorrect:Correct:The original Article has been corrected."}
+{"text": "Correction: European Journal of Ageing (2023) 20:4 10.1007/s10433-023-00753-2In the original publication of the article, the word \u201cUrinary incontinence\u201d should be replaced with \u201cincontinence\u201d throughout the article.The original article has been corrected."}
+{"text": "Correction: Journal of Gastroenterology (2022) 58:44\u201352 10.1007/s00535-022-01931-2In the original publication of the article, the first author\u2019s name should be \u201cTsukasa Yamakawa\u201d and not \u201cTsukasa Yamawaka\u201d."}
+{"text": "In the published article, there was an error in the Funding statement. The funding statement was displayed as \u201cThis work was funded by the Funda\u00e7\u00e3o para a Ci\u00eancia e Tecnologia (PTDC/BIA-EVF/3247/2012 and PTDC/BIA-EVL/30212/2017) and iBiMED .\u201d. The correct Funding statement appears below."}
+{"text": "Correction: Human Cell (2022) 35:1650\u20131670 10.1007/s13577-022-00756-8In the original publication of the article, \u201cLi Xiao\u201d is the corresponding author and not \u201cChenyu Lin\u201d."}
+{"text": "Nature Communications 10.1038/s41467-023-40567-5, published online 10 August 2023Correction to: The original version of this Article contained errors in the legends of Figures 1\u20134, 6, and 7.P-value was determined by two-tailed Student\u2019s t-test.\u2019 The correct version replaces this sentence with \u2018P-values were determined by two-way ANOVA (Dunnett\u2019s test) (f) or two-way ANOVA (\u0160\u00edd\u00e1k\u2019s test) .\u2019The legend of Figure 1 originally incorrectly read \u2018P-value was determined by two-tailed Student\u2019s t-test.\u2019 The correct version replaces this sentence with \u2018P-values were determined by two-way ANOVA (\u0160\u00edd\u00e1k\u2019s test) , ordinary one-way ANOVA (Tukey\u2019s test) (h) or two-way ANOVA (Tukey\u2019s test) (l).\u2019The legend of Figure 2 originally incorrectly read \u2018d, VSV: *p\u2009=\u20090.0123, ****p\u2009<\u20090.0001 in sequence).\u2019 The correct version states \u2018For h\u2019 instead of \u2018For d\u2019.The legend of Figure 2h originally incorrectly read \u2018GFP-VSV titers were quantitated in plaque assay .\u2019 The correct version states \u2018***p\u2009=\u20090.0004\u2019 instead of \u2018***p\u2009=\u20090.0001\u2019.The legend of Figure 2l originally incorrectly read \u2018P-value was determined by two-tailed Student\u2019s t-test.\u2019 The correct version replaces this sentence with \u2018P-values were determined by two-way ANOVA (\u0160\u00edd\u00e1k\u2019s test) or unpaired two-sided t-test (e).\u2019The legend of Figure 3 originally incorrectly read \u2018IFNB1 induction was measured by qPCR .\u2019 The correct version states \u2018IFNB1\u2019 instead of \u2018ISRE\u2019.The legend of Figure 3h originally incorrectly read \u2018P-value was determined by two-tailed Student\u2019s t-test.\u2019 The correct version replaces this sentence with \u2018P-values were determined by two-way ANOVA (\u0160\u00edd\u00e1k\u2019s test) (i).\u2019The legend of Figure 4 originally incorrectly read \u2018IFNB1 induction was measured by qPCR .\u2019 The correct version states \u2018****p\u2009<\u20090.0001\u2019 instead of \u2018***p\u2009<\u20090.0001\u2019.The legend of Figure 4i originally incorrectly read \u2018Cells were harvested at specified time points post infection and P-value was determined by two-tailed Student\u2019s t-test.\u2019 The correct version replaces this sentence with \u2018P-values were determined by two-way ANOVA (Tukey\u2019s test) , two-way ANOVA (\u0160\u00edd\u00e1k\u2019s test) (c) or two-way ANOVA (Dunnett\u2019s test) (d\u2013f).\u2019The legend of Figure 6 originally incorrectly read \u2018P-value was determined by two-tailed Student\u2019s t-test.\u2019 The correct version replaces this sentence with \u2018P-values were determined by two-way ANOVA (Tukey\u2019s test) , two-way ANOVA (\u0160\u00edd\u00e1k\u2019s test) or Gehan-Breslow-Wilcoxon test .\u2019The legend of Figure 7 originally incorrectly read \u2018Wdr77CKO and Mavs-/- mice (n\u2009=\u200910 each) were injected intravenously with HSV at 1.5\u2009\u00d7\u2009108 PFU per mouse, and the survival rates were monitored for 15\u2009days (*p\u2009=\u20090.445).\u2019 The correct version states \u2018nsp\u2009=\u20090.445\u2019 instead of \u2018*p\u2009=\u20090.445\u2019.The legend of Figure 7i originally incorrectly read \u2018WT, This has been corrected in both the PDF and HTML versions of the Article.The original version of this Article contained errors in the legends of supplementary Figures\u00a0P value was determined by two-tailed Student\u2019s t-test.\u2019 The correct version replaces this sentence with \u2018P values were determined by two-way ANOVA (Dunnett\u2019s test) .\u2019The legend of supplementary Figure\u00a0P value was determined by two-tailed Student\u2019s t-test.\u2019 The correct version replaces this sentence with \u2018P values were determined by unpaired two-sided t-test (b), ordinary one-way ANOVA (Dunnett\u2019s test) (e) or two-way ANOVA (\u0160\u00edd\u00e1k\u2019s test) .\u2019The legend of supplementary Figure\u00a0P value was determined by two-tailed Student\u2019s t-test.\u2019 The correct version replaces this sentence with \u2018P values were determined by two-way ANOVA (\u0160\u00edd\u00e1k\u2019s test) .\u2019The legend of supplementary Figure\u00a0P value was determined by two-tailed Student\u2019s t-test.\u2019 The correct version replaces this sentence with \u2018P values were determined by two-way ANOVA (\u0160\u00edd\u00e1k\u2019s test) .\u2019The legend of supplementary Figure\u00a0P value was determined by two-tailed Student\u2019s t-test.\u2019 The correct version replaces this sentence with \u2018P values were determined by two-way ANOVA (\u0160\u00edd\u00e1k\u2019s test) (g).\u2019The legend of supplementary Figure\u00a0P value was determined by two-tailed Student\u2019s t-test.\u2019 The correct version replaces this sentence with \u2018P values were determined by ordinary one-way ANOVA (Dunnett\u2019s test) , two-way ANOVA (Dunnett\u2019s test) or two-way ANOVA (\u0160\u00edd\u00e1k\u2019s test) (h).\u2019The legend of supplementary Figure\u00a0P value was determined by two-tailed Student\u2019s t-test.\u2019 The correct version replaces this sentence with \u2018P values were determined by two-way ANOVA (Dunnett\u2019s test) , e (lung), f ), two-way ANOVA (Tukey\u2019s test) , e (spleen), f (liver)), or two-way ANOVA (\u0160\u00edd\u00e1k\u2019s test) (e (liver)).\u2019The legend of supplementary Figure\u00a0The HTML has been updated to include a corrected version of the\u00a0The original version of this Article contained errors in the Statistical Analysis in the Methods.t-test was used to analyze the significance of mean values between groups. Kaplan\u2013Meier survival analysis was used to analyze mouse survival data by two-sided log-rank (Mantel\u2013Cox) test.\u2019The Statistical Analysis in the Methods originally incorrectly read \u2018Unpaired two-sided Student\u2019s t-test, ordinary one-way ANOVA and two-way ANOVA were used to analyze the significance of the differences between groups. Survival data of mice were analyzed using Gehan-Breslow-Wilcoxon test.\u2019The correct version replaces these sentences with \u2018Unpaired two-sided Student\u2019s This has been corrected in both the PDF and HTML versions of the Article.The original version of this Article contained an error in the Source Data for Figure 2h.WDR77-/- and omitted measurements for MAVS-/-. The correct version replaces these values with \u2018410000000, 310000000 and 370000000\u2019 for VSV titer in WT, and \u201844000000, 38000000 and 34000000\u2019 for VSV titer in WDR77-/-, and adds \u20181200000000, 1500000000 and 1300000000\u2019 for VSV titer in MAVS-/-.The Source Data for Figure 2h originally incorrectly read \u201935.6, 27.2 and 24.8\u2019 for VSV titer in WT, and \u20187.4, 6 and 8\u2019 for VSV titer in The HTML has been updated to include a corrected version of the Source Data.Updated Supplementary InformationUpdated Source Data"}
+{"text": "Scientific Reports 10.1038/s41598-023-39759-2, published online 04 August 2023Correction to: The original version of this Article contained an error in the Results section, under the subheading \u2018Systematic palaeontology\u2019, where the expanded form of the specimen number \u201cRWR-241(A\u2013K)\u201d was missing. Consequently,Holotype.\u00a0RWR-241 A\u2013K;\u201d\u201cnow reads:Holotype.\u00a0RWR-241 A\u2013K ;\u201d\u201cThe original Article has been corrected."}
+{"text": "Correction to: BMC Public Health 23, 1235 (2023)10.1186/s12889-023-16127-3The original publication of this article contained 3 errors:Fatimah Ali Alessa\u201d should have been \u201cFatimah Ali Aleisa\u201d.The author name \u201cHawra Wasel Alabdulmohsen\u201d should have been \u201cHawra Wasel Abdulmohsen\u201d.The author name \u201cProject No.545\u201d should be \u201cProject No.3694 \u201c.The funding number \u201cThe original article has been updated to correct these errors."}
+{"text": "Correction: J Gastroenterol (2023) 58:1\u201313 10.1007/s00535-022-01934-zIn the original publication of the article, the \u201cTable 1 continued\u201d column head was wrong.The original article has been corrected."}
+{"text": "Scientific Reports 10.1038/s41598-023-29642-5, published online 27 February 2023Correction to: The original version of this Article contained an error in the Acknowledgments section.\u201cThis work was supported in part by funding from the Funda\u00e7\u00e3o para a Ci\u00eancia e Tecnologia (FCT) [grant number: PTDC/CED-EDG/31615/2017].\u201dnow reads:\u201cThis work was supported by national funds, from the Funda\u00e7\u00e3o para a Ci\u00eancia e Tecnologia (FCT), in the scope of the project UIDB/04375/2020.\u201dThe original Article has been corrected."}
+{"text": "Correction: Discover Nano (2021) 16:120 10.1186/s11671-021-03580-52O4\u2011QDs\u201d part of the \u201cMaterial and Methods\u201d section:The original article unfortunDue to a typographical error \u201cDiethanol amine\u201d was incorrently presented as \u201cDithranol amine\u201d.The original article has been corrected."}
+{"text": "An 88-year-old woman undergoing transcatheter aortic valve replacement (TAVR) using a 29-mm Evolut PRO+ Fig.\u00a0A complaiOchiai et al. suggested that selective engagement was impossible in all unfavorable coronary access cases with Evolut THVs . We have"}
+{"text": "Onde se l\u00ea:Leia-se:"}
+{"text": "Correction: BMC Women\u2019s Health (2023) 23:1 10.1186/s12905-023-02523-9.Following publication of the original article, in this article the author name \u2018Tegenu Balcha\u2019 was incorrectly written as \u2018Taganu Balcha\u2019The original article has been corrected."}
+{"text": "Blood Cancer Journal 10.1038/s41408-023-00813-x, published online 24 March 2023Correction to: In the fifth line of the second paragraph, the word of \u201cnegative\u201d in \u201cMRD-negative complete remission\u201d should be \u201cpositive\u201d.The original article has been corrected."}
+{"text": "Health and Quality of Life Outcomes (2020) 18:25010.1186/s12955-020-01494-xThe original article mistakenThis study has been funded by Instituto de Salud Carlos III through the project \u201cPI16/00358\u201d ."}
+{"text": "Scientific Reports 10.1038/s41598-018-35220-x, published online 20 November 2018Correction to: This Article contains an error in the Abstract, where the volume of the Sansha Yongle Blue Hole is incorrect.3.\u201d\u201cThe SYBH resembles a ballet dancer\u2019s shoe and has a volume of ~499609\u2009mshould read:3.\u201d\u201cThe SYBH resembles a ballet dancer\u2019s shoe and has a volume of 1417149\u2009m"}
+{"text": "Correction to: BMC Health Services Research (2023) 23:31. 10.1186/s12913-022-09011-0.Following publication of the original article , the autbold):Corrections (marked in 2020\u20132021) (n\u2009=\u2009591) or usual care (n\u2009=\u2009469). (Abstract under \u201cInterventions\u201d)Participants were individually randomized (1\u20131 ratio) to either be exempted from the standard $5 charge per prescription item for one year ((1 Feb 2020 to 31 Jan 2021) (Methods).The primary outcome was length of stay within the year of the study The original article has been"}
+{"text": "Environ Health Perspect 121:A182\u2013A189 (2013)] referred to farms that companies \u201cco-own with farmers.\u201d These farms should have been referred to as \u201ccompany-owned.\u201d EHP regrets the error.The June 2013 News article \u201cCAFOs and Environmental Justice: The Case of North Carolina\u201d ["}
+{"text": "Adri\u00e1n Fern\u00e1ndez-Lodeiro, Javier Fern\u00e1ndez-Lodeiro, Cristina N\u00fa\u00f1ez*, Rufina Bastida, Jos\u00e9 Luis Capelo, and Carlos Lodeiro*The cover picture shows the formation of one-dimensional nanochains of silver nanoparticles (AgNPs) upon addition of a polyamine molecular linker. In the present work, the binding ability of this linker was exploited, bearing different functional groups, which favors the self-assembly of silver and gold nanoparticles (AuNPs) into one-dimensional nanochains in aqueous solution. These nanochains visually resemble the artistic work of \u201ccalceteiros\u201d (pavers) to build the \u201ccal\u00e7ada Portuguesa\u201d (Portuguese pavements) in Portugal . Polyamine ligands are very versatile materials due to their water solubility and flexibility. The study of AgNPs and AuNPs in one-dimensional nanostructured formations are finally used as new sophisticated heavy metal (Hg2+) ion chemosensors. For more details, see the Full Paper by Carlos Lodeiro, Christina N\u00fa\u00f1ez and co-workers, on p. 200 ff."}
+{"text": "Information concerning the the first author's funding was incorrectly omitted from the first sentence of the funding statement. The correct sentence is: MJS-B was funded by a FEBS postdoctoral fellowship during her stay in Cambridge (UK) and by a \u201cRam\u00f3n y Cajal\u201d contract (RYC-2008-03449) and the \u201cMinisterio de Econom\u00eda y Competitividad\u201d (grant number BIO2011-28184-C02-02) in Spain."}
+{"text": "There are multiple in-text citation errors in the Methods section and Figure Legends. The second sentence in the Methods section under the subheading \u201cImmunoblotting\u201d should end with: \u201c...and Bar209 anti-mono197 and unglycosylated PrP mAb [14] , recognizing a conformational epitope [14] likely involving human PrP168-181, like anti-mono197 PrP mAb V61 [12].\u201dThe last sentence of the Figure S1 Legend should be: \u201cBar209 has a conformational epitope (14), which likely involves PrP168\u2013181 as it recognizes PrPC depending on N181 occupancy, like V61 mAb (12).\u201dThe first sentence of the Figure S2 Legend should begin: \u201cThe following brain homogenates containing different PrP glycoforms were used [21]...\u201d"}
+{"text": "Muscle spindles, whose activity is determined by muscle length changes and by fusimotor drive (i.e. \u03b3-drive), provide critical information about movement position and velocity . HoweverOur conceptually simple computational model (an adaptation of ) allows Our simulations suggest that (i) empirically observed muscle spindle activity profiles can to a large part be explained by a strongly task-dependent \u03b3-drive Figure , (ii) obOur simulation predicts that \u03b3-drive is strongly modulated and task-dependent and that appropriate \u03b3-drive can explain many empirically observed aspects of group Ia and II muscle spindle responses during active movements."}
+{"text": "Journal of Pharmacology & Pharmacotherapeutics, 2010; 1: 122-3; Column 1, Paragraph 5, line 4.Title: Agomelatine: A novel melatonergic antidepressantThe drug name \u2018fluoxamine\u2019Should read as\u2018fluvoxamine\u2019The error is regretted- Chief Editor, JPP"}
+{"text": "OGX-011 is a second generation 21-mer oligonucleotide with a 20-O-(2-methoxy)-ethyl modification, generously provided by OncoGenex Technologies \u201d [The original version of the paper reports that \u201c"}
+{"text": "It should read BIC = k log n - 2 log L(theta_hat |Y). Please view the complete, correct equation here:"}
+{"text": "In the second sentence of the \u201cNext Generation Sequencing (NGS) Library Construction\u201d section, the sequence for primer F515 appears incorrectly in the text. The sentence should read: \u201cBriefly, the V4 domain of bacterial 16S rDNA was amplified using primers F515 (5\u2032-GTGCCAGCMGCCGCGGTAA-3\u2032).\u201d"}
+{"text": "Escherichia coli (ETEC) outbreaks, United States, 1996\u20132003,\u201d the serotype of the strain associated with outbreak number 16 was O169:H41 not O169:H49.On p. 519, in the table entitled \u201cCharacteristics of enterotoxigenic"}
+{"text": "Pyrus bretschneideri Rehd. 21S34S), the latter displaying a typical S-RNase-based gametophytic self-incompatibility (GSI). The pollen-part mutation (PPM) of \u2018Jin Zhui\u2019 might be due to a natural mutation in the pollen-S gene (34S haplotype). However, the molecular mechanisms behind these phenotypic changes are still unclear. In this study, we identified five SLF (S-Locus F-box) genes in \u2018Ya Li\u2019, while no nucleotide differences were found in the SLF genes of \u2018Jin Zhui\u2019. Further genetic analysis by S-RNase PCR-typing of selfed progeny of \u2018Jin Zhui\u2019 and \u2018Ya Li\u2019 \u00d7 \u2018Jin Zhui\u2019 progeny showed three progeny classes as opposed to the two classes reported previously (21S34S and 34S34S), indicating that the pollen gametes of \u2018Jin Zhui\u2019, bearing either the 21S- or 34S-haplotype, were able to overcome self-incompatibility (SI) barriers. Moreover, no evidence of pollen-S duplication was found. These findings support the hypothesis that loss of function of S-locus unlinked PPM expressed in pollen leads to SI breakdown in \u2018Jin Zhui\u2019, rather than natural mutation in the pollen-S gene (34S haplotype). Furthermore, abnormal meiosis was observed in a number of pollen mother cells (PMCs) in \u2018Jin Zhui\u2019, but not in \u2018Ya Li\u2019. These and other interesting findings are discussed.\u2018Jin Zhui\u2019 is a spontaneous self-compatible mutant of \u2018Ya Li\u2019 ( S locus, which is comprised of the pistil-S and pollen-S genes S gene encodes a polymorphic ribonuclease (S-RNase) essential for rejection of self-pollen, and operates through inhibiting the growth of pollen tubes that possess the same S allele S locus itself is a cluster of pollen-expressed S-locus F-box genes named SLF/SFBBPetunia, Antirrhinum and Pyrus support a model in which the SLF functions as a component of the SCF E3 ubiquitin ligase complex that interacts with non-self S-RNases, leading to their degradation through the ubiquitin 26S proteasome proteolytic pathway Nicotiana suggests the resistance to non-self S-RNase by its sequestration from vacuolar compartments in compatible pollen tubes Gametophytic self-incompatibility (GSI) is a genetic mechanism in many flowering plants that prevents self-fertilization and promotes cross-fertilization. In Solanaceae, Plantaginaceae and Rosaceae, GSI is controlled by a single multi-allelic S-RNase and S-locus F-box genes as the S-determinants in Rosaceae, although functional approaches based on transgenic experiments have been proven problematic in this family. For instance, Okada et al. 2S4S). The cultivar had a 236 kb region deleted which included the 4-RNaseS of sm-S4haplotype. Whereas Li et al. Pyrus bretschneideri Rehd.) was caused by a single amino acid mutation in 21S-RNase. The European pears (Pyrus communis) \u2018Abugo\u2019 and \u2018Ceremeno\u2019 were found to be self-compatible where 21S\u00b0-RNase protein was absent in the style Prunus cerasus), a Mu-like element insertion upstream of 6m-RNaseS reduced the level of expression of S-RNase, correlating with reduced accumulation of S-RNase in the pistil and reversal of the rejection mechanism S determinants in Rosaceae. Meanwhile, self-compatible pollen-part mutants with non-functional SFB proteins have been widely reported in Prunus. In self-compatible sweet cherry (Prunus avium), the 4SFB 4 bp deletion caused a frame-shift resulting in defective SFB4 transcripts lacking two hypervariable regions. Similarly, a self-compatible Japanese apricot (Prunus mume) mutant was likely caused by insertion in the fSFB coding region, leading to a defective SFBf transcript that lacked the HVa and HVb containing C-terminus S determinants in prunus. Noteworthily, self-compatible pollen-part mutants with non-functional SLF/SFBB are little known in Solanaceae and the tribe Pyreae . Pollen-part self-compatibility (SC) in these species is due to the S-heteroallelic pollen effect S alleles induces breakdown of pollen SI function SLFs/SFBBs in Solanaceae and Pyrus (Rosaceae) support a \u2018non-self recognition by multiple factor SI system\u2019 Pyrus are mostly related to S-allele duplications.In recent studies, the use of induced or spontaneous self-compatible mutants have supported S-locus unlinked factors that are required for GSI had also been associated with SC in Solanaceae and some genera of Rosaceae. In apricot cultivar \u2018Canino\u2019 (2SCS), a mutation was found in a modifier gene unlinked to the S-locus which independently caused the loss of pollen-S function S-locus. Zuriaga et al. S-locus unlinked PPM was located at the distal end of chr.3. Pollen modifier factors have also been identified in Petunia, Pyrus and Prunus, such as the pollen-expressed Skp1-like1 proteins. As a modifier, Skp1-like1 proteins were proposed to be involved in a SCF complex Pyrus, the loss of function of S-locus unlinked PPM that leads to self-compatibility has never been reported. Therefore, the identification of S-locus unlinked PPM in Pyrus will be necessary to give a more complete picture of the self-incompatible mechanism.However, mutations in 34S mutation S-locus unlinked PPM was probably involved in pollen-S function breakdown. Further mapping will be necessary to identify the underlying mutant S-locus unlinked PPM.\u2018Jin Zhui\u2019 is a spontaneous self-compatible mutant of SI pear cultivar \u2018Ya Li\u2019. Li et al. No specific permits were required for the described observation or field studies. For locations and activities partaken, a. no specific permissions were required; b. locations were not privately-owned or protected in any way and c. no endangered or protected species were involved.Pyrus bretschneideri Rehd.), \u2018Ya Li\u2019 , \u2018Jin Zhui\u2019 , \u2018Jin Feng\u2019 , \u2018Han Hong\u2019 , \u2018Han Xiang\u2019 , \u2018Jin Zhui\u2019 selfed progeny, and crossed progeny derived from \u2018Ya Li\u2019 \u00d7 \u2018Jin Zhui\u2019, \u2018Ya Li\u2019 \u00d7 \u2018Jin Feng\u2019, \u2018Jin Zhui\u2019 \u00d7 \u2018Jin Feng\u2019, \u2018Jin Zhui\u2019 \u00d7 \u2018Han Hong\u2019, \u2018Ya Li\u2019 \u00d7 \u2018Han Hong\u2019, \u2018Han Xiang\u2019 \u00d7 \u2018Jin Zhui\u2019 were used in this study. The pistils and pollen were collected and stored at \u221280\u00b0C for DNA and RNA extraction. Flower buds from \u2018Jin Zhui\u2019 and \u2018Ya Li\u2019 were collected in spring at the stage ideal for meiotic studies, and root-tips for the observation of chromosomal numbers of \u2018Jin Zhui\u2019 selfed progeny were obtained from the germinated seeds.Five cultivars of Chinese pear , and seeds from self-pollination and cross-pollination were used for segregation analysis of Genomic DNA from leaves and seedlings was isolated by the method described previously SLF alleles in pollen cDNAs from \u2018Ya Li\u2019 and \u2018Jin Zhui\u2019. PCR conditions were as follows: 20 \u00b5L reaction system, 50 ng genomic DNA, 2 \u00b5L 10 \u00d7 Ex Taq buffer (including 2 mM MgCl2), 0.2 mM dNTPs, 10 pM of each primer and 0.2 unit Ex Taq DNA polymerase (TaKaRa). PCR products were examined by 1% agarose gel, and purified using the Gel Extraction Kit and then cloned into the pMD18-T vector (TaKaRa). Four independent clones of each PCR product were chosen for DNA sequencing. Sequence alignment was performed with MEGA version 5.0 SLF/SFBB were carried out using the neighbor-joining method implemented in MEGA, with 1000 bootstrap replicates. Homologs were identified by BLASTN searches of the National Center for Biotechnology Information database \u00d7 \u2018Jin Feng\u2019 (19S34S) was used.Primers were screened from the PpSFBB primers reported by KaKui et al. se NCBI; . Specifi alleles . A segreSix cross-pollinations, \u2018Ya Li\u2019 \u00d7 \u2018Han Hong\u2019, \u2018Jin Zhui\u2019 \u00d7 \u2018Han Hong\u2019, \u2018Han Xiang\u2019 \u00d7 \u2018Jin Zhui\u2019, \u2018Ya Li\u2019 \u00d7 \u2018Jin Zhui\u2019, \u2018Jin Zhui\u2019 \u00d7 \u2018Jin Feng\u2019, \u2018Ya Li\u2019 \u00d7 \u2018Jin Feng\u2019 and two self-pollinations from \u2018Ya Li\u2019 and \u2018Jin Zhui\u2019, were performed in the field. Pollination was conducted as follows: all flowers were removed before anthesis except three per inflorescence, with the anthers in these three removed and insect-proof bags used to prevent accidental contamination by foreign pollen. Fruit set was recorded about 1 month later and fruits were collected up until harvest time, with the number of seeds and weight per fruit recorded.Pollen viability was estimated as the percentage of pollen grains stained with 0.5% fluorescein diacetate (FDA). Fresh pollen grains were germinated on a solid medium in petri dish for 40 min at 28\u00b0C, and then the solid medium with germinated pollen grains was cut into small patches and placed on a glass slide. The germinated pollen grains were observed directly under a microscope for germination tests. For tests of pollen viability, FDA (2.5 mg/ml) was added to solid medium for 10 min, and then the pollen grains were observed under a microscope . A total of 500 pollen grains were observed.Upon reaching the optimal stage for meiotic studies, flower buds of \u2018Jin Zhui\u2019 and \u2018Ya Li\u2019 were fixed in carnoy's fluid for 24 hours and then stored in 70% ethanol at 4\u00b0C until used. Pollen mother cells were stained with 4\u2032, 6-diamino-2-phenylindole (DAPI) before observation. The chromosome numbers of \u2018Jin Zhui\u2019 selfed progeny were observed from root-tip cells with at least 30 cells observed per sample, fresh root-tips were harvested when 1\u223c2 cm long from germinated seeds and pretreated in 0.002 M 8-Hydroxyquinoline for 2 hours at room temperature, and then fixed with cannoy solution for 24 hours. After washing twice with distilled water, the root-tips were cut and kept in a solution of 2% cellulose and 1% pectinase at 37\u00b0C for 2 hours. Materials were washed twice with distilled water before being fixed again with cannoy solution and then stained on a pre-cooled slide with 4\u2032, 6-diamino-2-phenylindole pyrrolindone (DAPI). All chromosomal images were captured under the Olympus BX53 fluorescence microscope used with a microCCD camera.SLF alleles was performed using four different primer pairs as used for SFBB allele identification by Kakui et al. SLF alleles from the genomic DNA of \u2018Ya Li\u2019 (21S34S) using each primer pair , 34PbSLF1-S (GenBank accession number KC569799), 34PbSLF3\u03b1-S (GenBank accession number KC569800), 34PbSLF3\u03b2-S (GenBank accession number KC569801) and 21PbSLF4-S (GenBank accession number KC569802).To confirm whether the five S-RNases C. TheseSLFs from \u2018Jin Zhui\u2019, seven SLFs including the five obtained in this study and two identified by Xu et al. SLFs showed no difference between \u2018Ya Li\u2019 and \u2018Jin Zhui\u2019 (data not shown).To determine whether mutations or indels existed in the S of the 34-Shaplotype. To further analyze the nature of the self-compatible mutant, pollination tests were performed. \u2018Ya Li\u2019 and \u2018Jin Zhui\u2019 were self-pollinated and reciprocally pollinated. The results from pollination tests showed that \u2018Jin Zhui\u2019, which had functional style and nonfunctional pollen, was self-compatible, while \u2018Ya Li\u2019, which had functional style and pollen, was self-incompatible and two classes (19S34: S19S21S) by S-RNase genotyping, respectively. The observed ratios for S-genotype segregations fit with the expected ratios . These results supported self-compatibility (SC) in \u2018Jin Zhui\u2019 was associated with S-locus unlinked PPM rather than S-allele duplications.To further validate these observations, additional crosses were performed and analyzed . The cro21S21S:21S34S:34S34S) from selfed progeny of \u2018Jin Zhui\u2019 and crossed progeny between \u2018Ya Li\u2019 and \u2018Jin Zhui\u2019 were 9\u223674\u223611 and 6\u223645\u22369, respectively. These segregation ratios did not fit the expected ratios of 1\u22362\u22361, with \u03c72 values of 31.11, P<0.01 and 14.56, P<0.01 . As a self-incompatible cultivar, \u2018Ya Li\u2019 had normal meiotic behavior A\u2013J. \u2018YaF-box genes within the S-locus region have been reported S genes had been determined experimentally Petunia and Pyrus, multiple SLFs/SFBBs as pollen S factors were proven to collaborate in recognizing non-self S-RNases and mediate their degradation S genes were always considered a reasonable explanation for self-compatible PPM, where Li et al. 34S genes. Our study on pollen-part mutation of \u2018Jin Zhui\u2019 should help us to understand the function of the pollen-S gene. We cloned five F-box genes from pollen cDNA of \u2018Ya Li\u2019, with linkage analysis showing them to be S-Locus F-box (SLF) genes. However, comparative analysis of seven SLFs, including the two SLFs identified by Xu et al. SLFs were probably not directly responsible for the SI breakdown of \u2018Jin Zhui\u2019. Subsequent genetic analysis further supported this hypothesis.In gametophytic self-incompatible (GSI) species of Solanaceae, Rosaceae and Plantaginaceae, multiple 21S34S) is a traditional Chinese pear (Pyrus bretschneideri) cultivar exhibiting self-incompatibility, and \u2018Jin Zhui\u2019 (21S34S) is a pollen-part mutant of \u2018Ya Li\u2019. Genetic analysis of 29 selfed progeny in \u2018Jin Zhui\u2019 showed that the pollen 34S allele might be mutated in \u2018Jin Zhui\u2019 \u2018Ya Li\u2019 (21S34S) was self-pollinated and reciprocally crossed with \u2018Ya Li\u2019 (21S34S). It is noteworthy that \u2018Jin Zhui\u2019 pollen tubes bearing either the 21S- or the 34S-haplotype were able to grow through \u2018Jin Zhui\u2019 and \u2018Ya Li\u2019 pistils and complete fertilization, producing three S-genotype classes instead of the two classes observed previously (21S21S and 21S34S). However, no progeny were obtained in the reciprocal cross when using \u2018Jin Zhui\u2019 as the female parent. These results should support the PPM in \u2018Jin Zhui\u2019 was unlinked to the S-locus. The crosses between \u2018Han Xiang\u2019 (12S31S) and \u2018Jin Zhui\u2019 (21S34S), \u2018Jin Zhui\u2019 (21S34S) and \u2018Jin Feng\u2019 (19S34S) reinforced this conclusion.To investigate the genetics of SC in \u2018Jin Zhui\u2019, genetic populations were constructed. \u2018Jin Zhui\u2019 , Table 3 progeny . These rArabidopsis male sterile mutant, abnormal meiosis caused by a Ds insertion in the SKP1-LIKE1 gene was reported SLF complex, and proposed to degrade non-self S-RNase in the degradation model of Pyrus, prunus and AntirrhinumS-locus unlinked PPM might influence the pollen development of \u2018Jin Zhui\u2019. Two SSKs, which had been identified in \u2018Ya Li\u2019 S-locus unlinked PPM should help us to gain deeper insights into self-incompatibility in Pyrus.Abnormal meiotic behaviors in PPM \u2018Jin Zhui\u2019 were observed in many PMCs . Univale"}
+{"text": "The paper titled \u201cA Prospective Study of Early Loaded Single Implant-Retained Mandibular Overdentures: Preliminary One-Year Results\u201d , publish"}
+{"text": "There were errors in Figures 2, 4, and 7. -The correct Figure 2 can be seen here: [^]-In Figure 4 B-D, the y-axis was incorrectly labeled \u201cGAPDH.\u201d The correct labels are \u201c* tubulin.\u201d-The correct Figure 7 can be seen here: [^]"}
+{"text": "Peroxisome-proliferator\u2013activated-receptor-\u03b3 (PPAR\u03b3) acts as a transcriptional regulator of multiple genes involved in glucose and lipid metabolism. In vitro studies showed that activated PPAR\u03b3 suppresses AT1R-gene expression and vice versa. However, it has not yet been determined in vivo, whether AT1R-PPAR\u03b3-interactions play a relevant role in the pathogenesis of diabetic complications and specifically in accelerated atherosclerosis.\u2212/\u2212 and ApoE\u2212/\u2212/AT1R\u2212/\u2212-mice were rendered diabetic by intraperitoneal injections of streptozotocin. Diabetic and non-diabetic ApoE\u2212/\u2212-mice were further randomized to receive the AT1R antagonist telmisartan, the selective PPAR\u03b3 antagonist GW9662, telmisartan and GW9662 or vehicle for 18 weeks. Diabetic and non-diabetic ApoE\u2212/\u2212/AT1R\u2212/\u2212-mice were randomized to receive either GW9662 or vehicle. GW9662 treatment in diabetic ApoE\u2212/\u2212 and diabetic ApoE\u2212/\u2212/AT1\u2212/\u2212-mice resulted in the highest elevation of fasting blood glucose levels, whereas telmisartan treatment and AT1 deficiency in ApoE\u2212/\u2212-mice showed the lowest fasting blood glucose levels. Diabetic ApoE\u2212/\u2212-mice displayed severe impairment of endothelial function, enhanced oxidative stress and increased atherosclerotic lesion formation. ApoE\u2212/\u2212/AT1R\u2212/\u2212 and telmisartan-treated ApoE\u2212/\u2212-mice showed a significantly better endothelial function, decreased oxidative stress and reduced atherosclerotic lesion formation. Treatment of diabetic ApoE\u2212/\u2212 and ApoE\u2212/\u2212/AT1R\u2212/\u2212-mice with the selective PPAR\u03b3 antagonist GW9662 omitted the atheroprotective effects of AT1R deficiency or AT1 antagonism.ApoE\u2212/\u2212-mice via the PPAR\u03b3 pathway.Genetic disruption or pharmacological inhibition of the AT1R attenuates atherosclerosis and improves endothelial function in diabetic ApoE In vitro studies investigating the interaction of PPAR\u03b3 and the AT1R in vascular smooth muscle cells (VSMC) showed that activated PPAR\u03b3 suppresses AT1R gene expression and vice versa, suggesting that pharmacological blockade or genetic disruption of the AT1R leads to enhanced PPAR\u03b3 activity thereby mediating anti-atherosclerotic effects in the vascular compartment [in vivo model of diabetes. Whether interactions of AT1R and PPAR\u03b3 play a key role in the pathogenesis of diabetes-induced atherosclerosis remains undetermined.Diabetes mellitus is a leading cause of morbidity and mortality in western countries due to cardiovascular complications . It has partment ,15. HoweIn the present study we analysed the influence of AT1R-PPAR\u03b3 interactions on diabetic-induced atherosclerotic lesion formation and endothelial function in an experimental long-term diabetic mouse model. In this well characterized model, injection of the cytotoxin streptozotocin (STZ) results in a reduction in \u00df-cells and an increase in plasma glucose to diabetic levels . The val\u2212/\u2212) mice and AT1A receptor knockout mice (AT1R\u2212/\u2212) with identical genetic background were used for this study. Thirty-two ApoE\u2212/\u2212-mice and 12 ApoE\u2212/\u2212/AT1R\u2212/\u2212-mice were rendered diabetic by 5 daily intraperitoneal injections of streptozotocin at a dose of 55mg/kg in citrate buffer or received citrate buffer alone at a dose of 40 mg/kg body weight per day orally via chow or the selective PPAR\u03b3 antagonist GW9662 (Sigma-Aldrich) i.p. at a dose of 1mg/kg body weight every second day or telmisartan and GW9962 or vehicle for 18 weeks in conscious animals. Blood glucose levels were measured using Accu-Chek\u00ae-Sensor, Roche, Mannheim, Germany). Blood samples were collected by tail vein puncture. Body weights were measured weekly and changes in body weight at baseline compared to body weight after 18 weeks of treatment were calculated.After excision of the descending aorta, the vessel was immersed in chilled, modified Tyrode buffer containing, in mmol/L, NaCl 118.0, CaCl2 2.5, KCl 4.73, MgCl2 1.2, KH2PO4 1.2, NaHCO3 25.0, Na EDTA 0.026, D(+) glucose 5.5, pH 7.4. Three-millimeter rings were mounted in organ baths filled with the above-described buffer and were attached to a force transducer, and isometric tension was recorded. The vessel segments were gradually stretched over 60 minutes to a resting tension of 10 mN. The drug concentration was increased when vasoconstriction or vasorelaxation was completed. Drugs were washed out before the next substance was added.Hearts with ascending aortas were embedded in Tissue Tek OCT embedding medium and sectioned on a Leica cryostat (9 \u03bcm), starting at the apex and progressing through the aortic valve area into the ascending aorta and the aortic arch and placed on poly-L-lysine (Sigma) coated slides. At least 15 consecutive sections per animal were used for analysis. For detection of atherosclerotic lesions, aortic cryosections were fixed with 3.7% formaldehyde and stained with oil red O working solution. For morphometric analysis, hematoxylin staining was performed according to standard protocols. Stained samples were examined with a Zeiss Axiovert 200 microscope and an AxioCam MRc5. Images were acquired with Zeiss AxioVision software Rel. 4.5.0 and processed with Corel Graphic Suite X4. For quantification of atherosclerotic plaque formation in the aortic root, lipid staining area and total area of serial histological sections were measured. Atherosclerosis data are expressed as lipid-staining area in percent of total surface area. The investigator who performed the histological analyses was unaware of the hypothesis of this study and the treatment of the respective animal group.ROS release in intact aortic segments was determined by L-012 chemiluminescence, as previously described . ChemiluP\u2009<\u20090.05 indicates statistical significance.Data are presented as mean\u2009\u00b1\u2009SEM. Statistical analysis was performed using the ANOVA test followed by the Neuman\u2013Keuls post hoc analysis. \u2212/\u2212/AT1\u2212/\u2212-mice compared to ApoE\u2212/\u2212-mice. Heart rates were significant higher in diabetic animals. Measurements of fasting blood glucose levels showed pathological glucose levels in diabetic animals compared to non-diabetic animals. GW9662 treatment in diabetic ApoE\u2212/\u2212 and diabetic ApoE\u2212/\u2212/AT1\u2212/\u2212-mice resulted in the highest elevation of fasting blood glucose levels. Cotreatment with telmisartan and GW9662 markedly attenuated this effect in diabetic ApoE\u2212/\u2212-mice. Diabetic ApoE\u2212/\u2212-mice treated with telmisartan and diabetic ApoE\u2212/\u2212/AT1\u2212/\u2212-mice showed the lowest fasting blood glucose levels compared to the other diabetic animals. At baseline (d0) body weight was identical in all groups (data not shown). After 18 weeks of standard chow diet, all groups of diabetic ApoE\u2212/\u2212-mice had significant more loss of body weight than the corresponding groups of diabetic ApoE\u2212/\u2212/AT1R\u2212/\u2212-mice. Administration of GW9662 led to a significant decrease in body weight in diabetic ApoE\u2212/\u2212 and diabetic ApoE\u2212/\u2212/AT1R\u2212/\u2212-mice compared to vehicle treated diabetic ApoE\u2212/\u2212 and diabetic ApoE\u2212/\u2212/AT1R\u2212/\u2212-mice. Interestingly, GW9662 treated diabetic ApoE\u2212/\u2212-mice lost significant more body weight then GW9662 treated diabetic ApoE\u2212/\u2212/AT1R\u2212/\u2212-mice. In contrast, all groups of non-diabetic ApoE\u2212/\u2212-mice and non-diabetic ApoE\u2212/\u2212/AT1R\u2212/\u2212-mice had a uniform increment in body weight after 18 weeks. Total cholesterol levels were higher in diabetic ApoE\u2212/\u2212-mice and diabetic ApoE\u2212/\u2212/AT1\u2212/\u2212-mice compared to non-diabetic groups. Highest total cholesterol levels were detected in GW9662 treated diabetic ApoE\u2212/\u2212-mice, indicating poor glucose metabolism and increased lipolysis in GW9662 treated diabetic ApoE\u2212/\u2212-mice. Co-treatment with telmisartan reduced this effect significantly. GW9662 had no effect in diabetic ApoE\u2212/\u2212/AT1\u2212/\u2212-mice. All parameters are shown in Table\u00a0Total cholesterol levels, fasting blood glucose, change in body weight, blood pressure and heart rate were measured in all groups Table\u00a0. Mice we\u2212/\u2212/AT1R\u2212/\u2212-mice, endothelium dependent vasodilatation was significantly impaired in diabetic ApoE\u2212/\u2212-mice indicating that AT1R-deficiency attenuates endothelial dysfunction in diabetic animals. Endothelium-dependent vasodilatation was significantly impaired in GW9662 treated diabetic ApoE\u2212/\u2212-mice, whereas treatment with telmisartan led to a significant improvement of endothelium-dependent vasodilatation. Cotreatment with GW9662 abolished the beneficial effect of telmisartan on endothelial function (Figure \u2212/\u2212-mice treated with vehicle or telmisartan or telmisartan and GW9662 endothelial function was not significantly affected (Figure Vascular function was assessed in isolated aortic ring preparations. In contrast to diabetic ApoE\u2212/\u2212 -mice had significantly higher ROS levels than diabetic ApoE\u2212/\u2212/AT1R\u2212/\u2212-mice. AT1R-deficiency in diabetic ApoE\u2212/\u2212-mice and telmisartan treatment in diabetic ApoE\u2212/\u2212-mice significantly decreased vascular ROS release. Co-administration of GW9662 abolished this effect, whereas treatment with GW9662 alone induced the highest ROS release in diabetic ApoE\u2212/\u2212-mice (Figure Vascular release of ROS radicals was measured by L012-chemiluminescence assays in intact aortic segments. Figure e Figure A. In none Figure B.\u2212/\u2212-mice (Figure \u2212/\u2212-mice (Figure \u2212/\u2212/AT1R\u2212/\u2212-mice, atherosclerotic lesions were significantly diminished (Figure \u2212/\u2212-mice (Figure \u2212/\u2212-mice showed pronounced atherosclerotic lesion formation (Figure \u2212/\u2212/AT1R\u2212/\u2212-mice (Figure \u2212/\u2212/AT1R\u2212/\u2212-mice (Figure \u2212/\u2212-mice in the highest extent of atherosclerotic lesion formation (Figure \u2212/\u2212/AT1R\u2212/\u2212-mice compared to non-diabetic ApoE\u2212/\u2212-mice, indicating that AT1R-deficiency results in decreased atherogenesis not only in diabetic but also in non-diabetic conditions. Subgroup analysis in non-diabetic mice indicated that treatment with telmisartan led to reduced atherosclerotic lesion formation in ApoE\u2212/\u2212-mice (Figure \u2212/\u2212/AT1R\u2212/\u2212-mice (Figure \u2212/\u2212 controls (Figure \u2212/\u2212/AT1R\u2212/\u2212-mice (Figure \u2212/\u2212-mice treated with GW9662 (Figure Development of atherosclerotic lesions was quantified in diabetic and non-diabetic animals using oil red O-staining and macroscopic analysis of the aortic root after 18 weeks. Figure e Figure H, vehicle Figure A displayd Figure B and 4I.\u2212/\u2212-mice. In addition, we show for the first time that the antiatherosclerotic effects of AT1R-inhibition are in part mediated via PPAR\u03b3 in vivo. PPAR\u03b3-inhibition by GW9662 treatment resulted in enhanced ROS generation and atherosclerotic lesion formation in comparison to untreated diabetic ApoE\u2212/\u2212/AT1R\u2212/\u2212-mice.The present study demonstrates the major role of the AT1R in diabetes-induced atherogenesis. Here we show that AT1R blockade using a pharmacological approach and AT1R deficiency by gene deletion attenuates atherosclerosis and improves endothelial function in diabetic and non-diabetic ApoEPPAR\u03b3 belongs to the family of peroxisome proliferator-activated receptors, which control the expression of various genes attributed with potentially vasoprotective effects such as improved glucose metabolism, lipid homeostasis and reduction of oxidative stress ,18. IntekB pathway. In contrast to Sugawara et al. PPAR\u03b3 activation did not affect AT1 receptor expression but significantly reduced AT1 receptor dependent ERK1/2 regulation [One characteristic of the PPARs is that their activation can occur through a broad spectrum of ligands even with rather low affinity . This imgulation . Studiesgulation .\u2212/\u2212/AT1R\u2212/\u2212-mice resulted in enhanced ROS generation and atherogenesis in comparison to untreated diabetic ApoE\u2212/\u2212/AT1R\u2212/\u2212-mice. However, the here demonstrated ability of GW9662 to inhibit PPAR\u03b3 does not rule out occurrence of a mechanism independent of PPAR\u03b3-inhibition or counteracting AT1R-action by altering its signaling cascade olbeit in the literature, GW9662 has not been associated with pleiotropic pharmacological effects independent of PPAR\u03b3-inhibition or associated with AT1R-interference.Our results emphasize that AT1R-PPAR\u03b3-interactions are in part responsible for atheroprotective effects of AT1R-deficiency. Application of the specific PPAR\u03b3-antagonist GW9662 in diabetic ApoEDiabetes mellitus is associated with a profound risk of developing atherosclerosis and its complications such as myocardial infarction , stroke In conclusion, AT1R-deficiency or pharmacological inhibition of the AT1R and activation of PPAR\u03b3 with telmisartan in diabetic individuals have beneficial effects on oxidative stress, endothelial function and atherosclerotic plaque development especially in metabolic and RAAS abnormalities associated with diabetes indicating to a relevant interaction of PPAR\u03b3 and the RAAS in vivo. These findings suggest a potential utility of AT1R inhibitors with partial PPAR\u03b3 agonistic activity in the prevention and treatment of diabetic macrovascular complications.The authors declare that they have no competing interests.VT, GN, and SW conception and design of research; VT, AA and DL performed experiments; VT, UMB and CFHM analyzed data; VT, UMB and CFHM interpreted results of experiments; VT and UMB prepared figures; VT, UMB and CFHM drafted manuscript; VT, UMB and CFHM edited and revised manuscript; All authors have read and approved the final version of manuscript.Absolute values of endothelial funktion, oxidative stress and atherosclerostic plaque development.Click here for file"}
+{"text": "In the first sentence of the \u201cLibrary Construction\u201d section the sequence for primer F515 appears incorrectly in the text. The sentence should read: \u201cFor amplification of the V4 domain of bacterial 16S rDNA, we used primers F515 (5\u2032-GTGCCAGCMGCCGCGGTAA-3\u2032)\u201d"}
+{"text": "Previous studies have linked CD8+ T cell subset IFN-gamma production to HAM/TSP disease evolution ,2, as we"}
+{"text": "Asthma is a heterogeneous disease with various clinical, inflammatory and molecular phenotypes. Uncontrolled asthma is associated with an increased risk of asthma exacerbation. We evaluated sputum cytokine mRNA expression patterns in an unselected group of adults with stable asthma in comparison to healthy subjects in order to characterize patients\u2019 specific airway cytokine profiles.Differential cell counts and cytokine mRNA were analyzed on sputum from 40 healthy and 66 asthmatic adults. A \u201ccytokine-high\u201d profile was defined if mRNA levels for that particular cytokine exceeded the 90th percentile value in the healthy population. Asthma control was assessed by Asthma Control Test (ACT) questionnaires.The \u201cIL-5-high\u201d asthma profile (n=13) merged with the \u201cIL-25-high\u201d (10/13) and surprisingly also with the \u201cIL-17A-high\u201d (11/13) profile. A sputum \u201cIL-25-high\u201d profile was even restricted to patients with an \u201cIL-5-high\u201d profile. Only a minority of \u201cIL-5-high\u201d patients were found to be \u201cIL-4-high\u201d (n=6), whereas 17 other patients had an \u201cIL-4-high\u201d profile without being \u201cIL-5-high\u201d. Patients with an \u201cIL-5-high\u201d, Il-17A-high\u201d and/or \u201cIL-25 high\u201d cytokine pattern had worse lung function parameters . Uncontrolled asthmatics had significantly higher sputum IL-5, IL-17A and IL-25 mRNA levels.Airway cytokine expression is highly heterogeneous amongst patients and their exact contribution to asthma pathogenesis is debated. Uncontrolled asthma was associated with higher levels of IL-5, IL-17A and IL-25 in the airways of asthmatics. Identifying patients\u2019 aberrant cytokine expression in the airways by non-invasive techniques might help to define responders to current and future therapies."}
+{"text": "J Ophthalmic Vis Res 2010; 5(1)], two errors were found regarding author names:In the January issue of this journal [J Ophthalmic Vis Res 2010; 5(1): 65\u201367), the author Reza Erfanian-Salim was misspelled as Mohammad-Reza Erfanian. The correct authors should read:In the Photo Essay, \u201cBilateral Orbital Cavernous Hemangiomas\u201d on page 65 : 3\u20139), the author Azade Doozande was omitted. The correct authors should read:In the Original Article, \u201cHigher-Order Aberrations in Myopic Eyes\u201d on page 3 (Farid Karimian, MD; Sepehr Feizi, MD; Azade Doozande, MD"}
+{"text": "Trigonella foenum-graecum) is a medicinal plant which is widely used for its pharmacological properties. In this study the phenolic composition of fenugreek crude seeds originating from Morocco has been investigated. Extraction was performed from defatted seeds by a hydromethanolic solution using an Accelerated Solvent Extractor. HPLC technique coupled to negative ion electrospray ionization mass spectrometry and diode array detection was employed to identify the polyphenol in the obtained extract. The obtained results allowed the detection of 32 phenolic compounds among which various flavonoid glycosides and phenolic acids have been tentatively identified on the basis of their UV and MS spectra, and comparisons with standards when available, as well as with literature data. A systematic study of the obtained MS spectra and the observed fragmentation showed that most of the identified compounds were acylated and non-acylated flavonoids with apigenin, luteolin and kaempferol as aglycons. Hydroxycinnamic acids mostly dominated by caffeic acid derivatives were also detected. The quantitative analysis of the identified compounds showed that the phenolic composition of the studied crude fenugreek seeds was predominantly acylated and non-acylated flavone derivatives with apigenin as the main aglycon.Fenugreek ( Trigonella foenum-graecum) is an annual plant of the Fabaceae family. The seeds of this plant are used by people in Asia, Africa and Mediterranean countries as one of the ingredients in daily diets \u2212 which was observed as base peak (m/z: 383 (Ag + 113) and m/z: 353 (Ag + 83) which are characteristics of di C-glycosylflavone fragmentations [m/z: 473 [(M \u2212 H) \u2212 120]\u2212 and corresponding to the 0,2''X0. This signal was observed with a low relative intensity, indicating to the loss of another glycosyl residue \u2212 (base peak). Additional fragment signals were observed at m/z: 473 [(M \u2013 H) \u2212 90]\u2212 , m/z: 443 [(M \u2013 H) \u2212 120]\u2212(\u22120.2''X0), m/z: 383 [(M \u2013 H) \u2212 120 \u2212 60]\u2212 and m/z: 353 [(M \u2013 H) \u2212 120 \u2212 90 ]\u2212 . These neutral losses are characteristics of a glucosyl and pentosyl residues as previously reported \u2212. The observed fragmentation pattern was typical of a di C-glycosylflavone [m/z: 503 [(M \u2212 H) \u2212 74]\u2212 and m/z: 473 [(M \u2212 H) \u2212 104]\u2212 , which are characteristics of a C-linked rhamonsyl [m/z: 383 [(M \u2212 H) \u2212 90]\u2212 and m/z: 353 [(M \u2212 H) \u2212 120]\u2212 were also observed and corresponded to the loss of a C-glucosyl moiety \u2212. The obtained MS data also showed fragment ion signals at m/z: 447 [(M \u2212 H) \u2212146]\u2212 (\u2212Y1'''7), m/z: 327 [(M \u2212 H) \u2212 146 \u2212 120]\u2212 and m/z: 285 [(M \u2212 H) \u2212 146 \u2212 162]\u2212 (\u2212Y07). The latter signal corresponding to the aglycon moiety indicated a loss of the O-rhamanosyglucosyl in agreement with previously reported data \u2212 (m/z: 383 (Ag + 113) and m/z: 353 (Ag + 83) in agreement with a di C-glycosylflavone [m/z: 593 [M \u2212 H \u2212 178]\u2212(Y2'') (acyl \u2212 18) and m/z: 473 [(M \u2212 H) \u2212 178 \u2212 120]\u2212 (\u22120.2''X0) suggesting an O-(Acyl)-glycosylflavone. The observed loss of 178 amu is in agreement with the molecular mass of a dehydrated dihydroferulic acid moiety connected through an interglycosidic 1\u21922 linkage to the C-glucosyl unit. This is due to the high relative intensity of the signal observed at m/z: 593 which was observed as base peak [10 was tentatively concluded to be apigenin 6-C-glucosyl 8-C-(2''-O-dihydroferuloyl)-glucoside.Compound [M \u2212 H]\u2212 . The MS lflavone . Additioase peak ,45. From12 showed a mass molecular ion at m/z: 749 [M \u2212 H]\u2212. The MS data also showed a fragment signal at m/z: 593 [M \u2212 H \u2212 156]\u2212 corresponding to the loss of a rhamnosyl moiety. Further ion signals were observed at m/z: 503 [(M \u2212 H) \u2212 156 \u2212 90]\u2212 , 473 [(M \u2212 H) \u2212 156 \u2212 120]\u2212 , with a low relative intensity, indicating the loss of a glucose residue. In the same spectrum a fragment ions signals were observed at m/z: 383 [(M \u2212 H) \u2212 156 \u2212 120 \u2212 90]\u2212 and 353 [(M \u2212 H) \u2212 156 \u2212 120 \u2212 120]\u2212, with high relative intensities, indicating to the loss of another glucose residue. Moreover, the ion fragment signals observed at m/z: 383 (aglycone + 113) and m/z: 353 (aglycone + 83), are characteristic of a di C-glycosylflavone fragmentation [12 was concluded to be an acylated vicenin derivative.The compound entation with api21 presents a molecular ion at m/z: 725 [M \u2212 H]\u2212. The characteristic fragment signals at m/z: 383 (Ag + 113) and m/z: 353 (Ag + 83) , indicating a di C-glycosylflavone linkage were observed [m/z: 533 [(M \u2212 H) \u2212 192]\u2212 (acyl \u2212 18), m/z: 443 [(M \u2212 H) \u2212 192 \u2212 90]\u2212 (\u22120.2''X0) and m/z: 413 [(M \u2212 H) \u2212 192 \u2212 120]\u2212 , corresponding to the loss of the an O-(acyl)-C-pentosyl with a 1\u21922 interglycosidic linkage due to the high relative intensity (70%) of the signal observed at m/z: 533 \u2212. The MS data showed fragments signals at m/z: 593 [(M \u2212 H) \u2212 166]\u2212 (acyl \u2212 18) indicating a loss of an O-acyl moiety. The latter was concluded to be linked through a C-glycosylation, due to the presence of the fragments ions m/z: 383 (Ag + 113) and m/z: 353 (Ag + 83) which is indicative of di C-glycosylflavone [m/z: 473 [(M \u2212 H) \u2212 120]\u2212 , m/z: 383 [(M \u2212 H) \u2212 120 \u2212 90] and m/z: 353 [(M \u2212 H) \u2013 120 \u2212 120]\u2212 (base peak), corresponding to the loss of the diglucosyl residue [m/z: 593 [(M \u2212 H) \u2212 166]\u2212 (acyl \u2212 18), showed a very low relative intensity (10%), compound 22 was concluded to be apigenin 6-C-glucosyl 8-C--glucoside.Compound lflavone . Other f15 and 16 present a molecular ion at m/z: 895 [M \u2212 H]\u2212. The MS data showed fragment signals at m/z: 563 [(M \u2212 H) \u2212 (acyl \u2212 2H) \u2212 162]\u2212, indicating an O-acylglycosylation on a phenolic hydroxyl through 1\u21926 interglycosidic linkage, due to their low relative intensity. Other fragment signals were observed at m/z: 447 [(M \u2212 H) \u2212 (acyl + 2H) \u2212 162 \u2212 (132 \u2212 16)]\u2212, m/z: 357 [(M \u2212 H) \u2212 (acyl + 2H) \u2212 162 \u2212 (132 \u2212 16) \u2212 90]\u2212 (Ag + 71) and m/z: 327 [(M \u2212 H) \u2212 (acyl + 2H) + 162 \u2212 (132 \u2212 16) \u2212 120]\u2212 (Ag + 41), corresponding to the loss of a pentosylglucoside with an interglycosidic 1\u21926 linkage in compound 15, and 1\u21922 for compound 16, due to a high relative intensity of the fragment ion m/z: 447 (compound 16) than in compound 15. The last fragment signals observed at m/z: 357 (Ag + 71) and m/z: 327 (Ag + 41) are typical of mono-glycosylflavones [C substitution [O-[6''-dihydrogalloyl]-glucosyl-8-C-pentosyl-(1\u21926)-glucoside was attributed to compound 15 and luteolin 7-O-[6''-dihydrogalloyl]-glucosyl-8-C-pentosyl-(1\u21922)-glucoside was attributed to compound 16.Compounds flavones ,48. The titution . Therefo18, 20 and 23 present a molecular ion at m/z: 863 [M \u2212 H]\u2212. The MS data showed a fragment signal at m/z: 563 [(M \u2212 H) \u2212 (acyl \u2212 18) \u2212 146]\u2212 (Y07\u2212), corresponding to the loss of an O-acylated rhamnosyl moiety. Other fragment signals were observed at m/z: 437 [(M \u2212 H) \u2212 300 \u2212 90]\u2212 , m/z: 443 [(M \u2212 H) \u2212 300 \u2212 120]\u2212 , m/z: 353 [(M \u2212 H) \u2212 210]\u2212 , m/z: 323 [(M \u2212 H) \u2212 300 \u2212 240]\u2212 and m/z: 311 [(M \u2212 H) \u2212 300 \u2212 240 \u2212 41]\u2212 (Ag + 41). These fragmentations are in agreement with the presence of a disaccharide moiety consisting of a pentosyl and a glucosyl residues. These were concluded to be linked through an interglycosidic linkage, due to the presence of the signal at m/z: 311 (Ag + 41), which is typical of the mono C-glycosylflavones \u2212. The MS data showed fragment ions at m/z: 563 [(M \u2212 H) \u2212 (acyl \u2212 18) \u2212 162]\u2212 (Y07\u2212), with a very low relative intensity (7%), indicating an O-(acyl)-glycosylation on the phenolic hydroxyl by interglycosidic 1\u21926 (24) and 1\u21922 linkage (25). Other fragment signals were observed at m/z: 473 [(M \u2212 H) \u2013 162 \u2212 (acyl \u2212 18) \u2212 90]\u2212 , m/z: 447 [(M \u2212 H) \u2212 314 \u2212 (132 \u2212 16)]\u2212 and m/z: 327 [(M \u2212 H) \u2212 314 \u2212 (132 \u2212 16) \u2212 120]\u2212 (\u22121.5'''X0). The latter\u2019s and corresponding to the loss of the pentosyl-rhamnoside residue by interglycosidic linkage at 2''' and 6''' position \u2212. The MS data also showed fragment signals at m/z: 577 [(M \u2212 H) \u2212 (acyl \u2212 18) \u2212 162]\u2212 (\u2212Y07) in agreement with the loss of an O-(acyl)-glucosyl (154 + 162 amu) moiety. This residue was concluded to be linked to the phenolic hydroxyl by interglycosidic 1\u21922 linkage (27), due to the high relative intensity of the signal located at m/z: 577 [m/z: 473 [(M \u2212 H) \u2212 316 \u2212 104]\u2212 , m/z: 383 [(M \u2212 H) \u2212 316 \u2212 104 \u2212 90]\u2212 and m/z: 353 [(M \u2212 H) \u2212 316 \u2212 104 \u2212 120]\u2212 corresponding to the loss of the rhamonsyl and glucosyl residues. The fragment signals at m/z: 383 (Ag + 113) and m/z: 353 (Ag + 83) which are characteristics of di C-glycosilflavone were also observed. The signal located at m/z: 353 was observed with a higher intensity in agreement with a 6-C-glucosyl-8-C-rhamnosyl-substitution. On the basis of the obtained results, these compounds were concluded to be apigenin 7-O--glucosyl-8-C-rhamnosyl-6-C-glucoside (26) and apigenin 7-O--glucosyl-8-C-rhamnosyl-6-C-glucoside (27).Compounds m/z: 577 . Other f28 presents a molecular ion at m/z: 925 [M \u2212 H]\u2212. The MS showed fragment signals at m/z: 605 [(M \u2212 H) \u2212 (acyl \u2212 18) \u2212 146]\u2212 (\u2013Y07), with a low relative intensity (6%), corresponding to the loss an O-(acyl)-rhamonsyl (174 + 146 amu) with a 1\u21926 interglycosidic linkage [m/z: 563 [(M \u2212 H) \u2212 320 \u2212 (acyl \u2212 18)]\u2212, m/z: 443 [(M \u2212 H) \u2212 320 \u2212 (acyl \u2212 18) \u2212 120]\u2212 , indicating to the Zj\u2212 (acyl \u2212 18) loss connected by interglycosidic linkage on the sugar moiety with a C-glycosylation. The ion m/z: 383 [(M \u2212 H) \u2212 320 \u2212 (acyl \u2212 18) \u2212 120 \u2212 60]\u2212 and m/z: 353 [(M \u2212 H) \u2212 320 \u2212 acyl \u2212 120 \u2212 90]\u2212 , corresponding to the loss of the glucosyl and pentosyl residue [m/z: 383 (Ag + 113) and m/z: 353 (Ag + 83) typical of the di C-glycosylflavone were also observed. The relative intensity of the [(M \u2212 H) \u2212 320 \u2212 (acyl \u2212 18) \u2212 120 \u2212 90]\u2212 signal was higher than that of [(M \u2212 H) \u2212 320 \u2212 (acyl \u2212 18) \u2212 120]\u2212 in agreement with a 6-C-pentosyl-8-C-glucosyl- substitution. These results suggested that compound 28 was luteolin 7-O-(6''-quinoyl)-rhamnosyl-6-C-pentosyl-8-C,O-(6'''-acetyl)-glucoside.Compound linkage . Other f residue were als29 presents a molecular ion at m/z: 547 [M \u2212 H]\u2212. The MS data showed fragment ion signals at m/z: 457 [(M \u2212 H) \u2212 90]\u2212 , m/z: 353 [(M \u2212 H) \u2212 90 \u2212 104]\u2212 and m/z: 327 [(M \u2212 H) \u2212 116 \u2212 104]\u2212 (Ag + 41), m/z: 297 [(M \u2212 H) \u2212 146 \u2212 104]\u2212 and m/z: 283 [(M \u2212 H) \u2212 164 \u2212 86 \u2212 14]\u2212. The neutral loss and 104 amu was concluded to correspond to the loss of the O--C-glucosyl by interglycosidic 1\u21922 linkage, due to a high relative intensity of the ion m/z: 353. Moreover, the fragment ion signal observed at m/z: 327 (Ag + 41), is typical of mono C-glycosylflavones and confirmed the substitution in the C-8 position due to the low relative intensity of the fragment ion m/z: 327 [29 could be luteolin 8-C--glucoside.Compound m/z: 327 . These r30 presents a molecular ion at m/z: 935 [M \u2212 H]\u2212. The MS data also showed a fragment signal at m/z: 651 [(M \u2212 H) \u2212 (acyl \u2212 18 \u2212 2H) \u2212 132]\u2212 (Y07) corresponding to the loss of the an O-(acyl)-pentosyl with a 1\u21922 interglycosidic linkage due to its very high relative intensity (81%). Other fragment signals were observed at m/z: 547 [(M \u2212 H) \u2212 284 \u2212 104]\u2212 , m/z: 461 [(M \u2212 H) \u2212 284 \u2212 104 \u2212 86]\u2212, m/z: 327 [(M \u2212 H) \u2212 284 \u2212 190]\u2212 (Ag + 41) and m/z: 285 [Ag \u2212 H]\u2212 corresponding to the loss of the O--pentosyl-rhamnosyl- unit with 1\u21922 and 1\u21926 interglycosidic linkages due to the presence the fragment signal m/z: 285 (aglycone) [30 was concluded to be luteolin 7-O--pentosyl-4'-O--rhamnoside.Compound glycone) . On the 32 presents a molecular ion at m/z: 1133 [M \u2212 H]\u2212. Other fragment signals were observed at m/z: 1063 [(M \u2212 H) \u2212 70]\u2212 (base peak), m/z: 917 [(M \u2212 H) \u2013 70 \u2212 146]\u2212 (Y76'''), m/z: 577 [(M \u2212 H) \u2212 86 \u2212 146 \u2212 324]\u2212 (\u2212Y72'''Y70) corresponding to the loss an O--rhamnosyl-diglucosyl with 1\u21922 and 1\u21926 interglycosidic linkages according to relative intensity of the fragments ions. Additional fragment signals were observed at m/z: 413 [(M \u2212 H) \u2013 556 \u2212 164]\u2212 (\u2212Z36''''') and m/z: 293 [(M \u2212 H) \u2212 556 \u2212 164 \u2212 120]\u2212 , suggesting another loss of the O-dirhamnosyl moiety. The relative intensity of the ion signal at m/z: 293 was higher than that of m/z: 413 indicating a 3-O-dirhamnosyl-aglycone. These results suggested this compound could be kaempferol 7-O--rhamonsyl-diglucosyl-3-O-(6'''''-rhamnosyl)-rhamnoside.Compound Eight hydroxycinnamic acid derivatives with low concentrations were detected in the studied fenugreek seeds sample. The tentative characterization of these compounds was based on UV spectra, mass spectral data and comparision with the literature data ,53. Diff1 presents a molecular ion at m/z: 827 [M \u2212 H]\u2212 (m/z: 665 [(M \u2212 H) \u2212 162]\u2212, m/z: 503 [(M \u2212 H) \u2212 324], m/z: 383 [(M \u2212 H) \u2212 324 \u2212 120]\u2212, m/z: 341 [(M \u2212 H) \u2212 324 \u2212 162]\u2212 , m/z: 281 [(M \u2212 H) \u2212 324 \u2212 162 \u2212 60]\u2212, m/z: 221 [(M \u2212 H) \u2212 324 \u2212 162 \u2212 120]\u2212, and m/z: 179 [(M \u2212 H) \u2212 324 \u2212 162 \u2212 162]\u2212. The loss of 324 amu is in agreement with the presence of a diglucoside moiety [Compound [M \u2212 H]\u2212 . The MS e moiety . The las2 presents a molecular ion at m/z: 695 [M \u2212 H]\u2212. The MS data showed fragment signals at m/z: 619 [(M \u2212 H) \u2212 76]\u2212, with a high relative intensity (90%), m/z: 407 [(M \u2212 H) \u2212 76 \u2212 212], with a low relative intensity (6%), m/z: 309 [(M \u2212 H) \u2212 386]\u2212 (base peak) and m/z: 180 [(M \u2212 H) \u2212 515]\u2212 with a relative intensity of 66%. The last fragment signal indicated the loss of the caffeic acid molecule while the 515 amu indicated the loss of the deshydrated dicaffeoyl-hydroxyferulic acid. Therefore, this compound was tentatively identified as tricaffeoyl-hydroxyferulic acid.Compound 4 presents a molecular ion at m/z: 947 [M \u2212 H]\u2212. The MS data showed fragment signals at m/z: 765 [(M \u2212 H) \u2212 182]\u2212 (loss of hydrocaffeic acid), m/z: 382 [(M \u2212 H) \u2212 182 \u2212 383]\u2212 (loss of dehydrated hydro feruloyl-sinapic acid), m/z: 205 [(M \u2212 H) \u2212 182 \u2212 383 \u2212 177]\u2212 (loss of sinapic acid). These results, suggested that this compound could be disynapoyl-hydro feruloyl-feruloyl-hydrocaffeic acid.Compound 5 presents a molecular ion at m/z: 447 [M \u2212 H]. Other signals were observed at m/z: 224 [(M \u2212 H) \u2212 223]\u2212, m/z: 152 [(M \u2212 H) \u2212 295]\u2212. The loss of the 295 amu is in agreement with a coumaroyl-pentosyl-unit. The last fragment ions corresponded to the loss of the dehydrated gallic acid unit, suggesting that this compound could be galloyl-coumaric acid pentoside.Compound 6 presents a molecular ion at m/z 499 [M \u2212 H]\u2212. The MS data showed fragment signals at m/z: 377 [(M \u2212 H) \u2212 122]\u2212, m/z: 273 (M \u2212 H) \u2212 226]\u2212, m/z: 163 [(M \u2212 H) \u2212 336]\u2212 and m/z: 119 [(M \u2212 H) \u2212 336 \u2212 44]\u2212. The loss of the 336 amu, indicated to the loss of a dehydrated caffeoyl-quinic acid unit and the last fragment ion observed at m/z: 163, corresponded to the loss of a coumaroyl radical, suggesting that this compound could be a caffeoyl-coumaroyl-quinic acid.Compound 7 presents a molecular ion at m/z: 801 [M \u2212 H]\u2212. The MS data also showed fragment signals at m/z: 671 [(M \u2212 H) \u2212 130]\u2212, m/z: 477 [(M \u2212 H) \u2212 324]\u2212 corresponding to the loss of diglucosyl. Other signals were observed at m/z: 323 [(M \u2212 H) \u2212 324 \u2212 154]\u2212 (loss of protocatechuic acid), m/z: 144 [(M \u2212 H) \u2212 324 \u2212 154 \u2212 179]\u2212 . These results suggested that this compound could be dicaffeoyl-protocatechuic acid diglucoside.Compound After having studied the qualitative phytochemical composition of the crude fenugreek seeds extract, the quantitative analysis of the individual identified phenolic compounds was explored and the obtained results are gathered in 16, an acylated triglycoside derivative of luteolin, as a major compound (15.80%). This was followed by compounds 14 (14.41%) and 20 (12.02%), which are glycosides of apigenin. The non-acylated apigenin (17 and 11) and kaempferol (31) derivatives were present with similar percentages . The acylated apigenin glycosides (18) and luteolin (13) compounds were present with 6.59% and 5.60% respectively. Finally compounds 15 and 32, which are acylated derivatives of luteolin and kaempferol were present at 3.76% and 2.52% respectively. These flavonoids represent the major compounds with 87.80% of the total identified compounds. The other compounds were present at lower relative percentages.The obtained results showed that the identified compounds are present at different percentages, with compound The quantitative composition of the studied crude seeds was dominated by non-acylated flavonoid glycosides (48.60%), followed by acylated flavonoid glycosides (45.86%) and finally phenolic acids (5.55%). Apigenin was the major constitutive aglycon (61.30%), followed by luteolin (21.15%) and kaempferol (11.22%). This showed that the studied sample was dominated by flavone derivatives (83.20%).The data obtained thus demonstrates that acylated and non-acylated flavone derivatives, with apigenin as the main aglycon, dominate the phenolic composition of crude fenugreek seeds.C-neohesperidoside, luteolin 7-O-glucoside, kaempferol 7-O-neohesperidoside and apigenin 7-O-neohesperidoside were obtained from Extrasynthese .All the chemicals used were of analytical grade and were obtained from Sharlab S.L. . Apigenin, luteolin, kaempferol, apigenin 8-Trigonella foenum-graecum seeds were collected in June 2009 from the north Morocco area. Dried seed samples were ground to a powder using a commercial coffee grinder and stored in plastic bags and kept in the dark at room temperature until extraction.Crude v/v) for polyphenols extraction. The temperature was 80 \u00b0C and the pressure was 1500 psi (10.3 Mpa) with 5 min for heating, 8 min as static time and 3 cycles for extraction. In the end, the extraction cell was flushed with solvent (60% cell volume) and purged with nitrogen (120 s). Three replicate extractions for each experimental condition were performed (n = 3). The extraction procedure was as follows: (1) Sample is loaded in the cell, (2) Cell is filled with solvent up to a pressure of 10.34 MPa, (3) Initial heat-up time is applied, (4) A static extraction with all system valves closed is performed, (5) The cell is rinsed (with 60% cell volume using extraction solvent), (6) Solvent is purged from the cell with N2 gas and (7) Depressurization takes place.Extraction was carried out using a Dionex ASE 200 Accelerated Solvent Extractor. This technique is also known as pressurized liquid extraction or pressurized fluid extraction. The system, automated and capable of sequential extractions, was made up of stainless steel extraction cells and its programmed parameters (temperature and pressure) were kept at their specified values by electronically controlled heaters and pumps. In this work, the extraction conditions were based on US EPA method . The usev/v) mixture and filtered through a 0.45 \u00b5m PVDF syringe filter, and analyzed by HPLC.At the end, the extracts were dried under a nitrogen flow at 40 \u00b0C, using Turbovap LV Concentration Evaporator . The residue was redissolved in 2 mL of methanol/water column at room temperature. The mobile phase consisted of water/AcOH (98/2) (solvent A) and acetronitrile/AcOH (98/2) (solvent B). Separation was performed using the following elution gradient: 0 to 80% B linear during 55 min, from 80% to 90% B during 2 min, 90% B isocratic during 13 min, from 90% to 95% B during 10 min and from 95% to 100% B during 10 min. This was followed by a washing with methanol and reequilibration of the column from 90 to 120 min. The flow rate was 1 mL/min, and the injection volume was 10 \u00b5L. The analysis was performed at 280, 310, 330 and 360 nm. Mass spectra were acquired using electrospray ionization in the negative ion mode scanning from m/z: 100 to 3000 using the following fragmentation program: from m/z: 0 to 200 (100 V) and from m/z: 200 to 3000 (200 V). Ionization parameters were as follows: drying gas (N2) at a flow of 10 L/min and a temperature of 350 \u00b0C. The nebulizer pressure was 55 psi and the capillary voltage was 4000 V.The HPLC\u2013DAD\u2013ESI/MS apparatus used consisted of a Waters 717 plus autosampler HPLC coupled to a Diode array detector and mass spectrometer . The separation was performed on a reversed-phase Waters Nova-Pak CIn this study, HPLC coupled to both ESI/MS and DAD was used to separate and identify 24 flavonoid glycosides in the extract of fenugreek crude seeds. Some minor phenolic acids were also detected and characterized. Both acylated and non-acylated flavonoid derivatives were detected. Most of the identified flavones were apigenin adducts followed by luteolin derivatives, while only two kaempferol glycosides were detected as flavonols. This work presents thus a more complete description of the phenolic compounds present in the crude fenugreek seeds. The obtained results indicate that crude fenugreek seeds could be considered as a rich source of bioactive phenolic compounds. Due to the widely reported antioxidant activity of flavonoids, crude fenugreek seeds could be exploited as an important supplement in food manufacturing such as functional foods or other herbal preparations."}
+{"text": "In the paper titled \u201cParticle Radiation-Induced Nontargeted Effects in Bone-Marrow-Derived Endothelial Progenitor Cells\u201d , there w"}
+{"text": "Scientific Reports6: Article number: 19051; 10.1038/srep19051 published online: 01112016; updated: 05202016.This Article contains errors.3 \u03bcm)\u2019 was incorrectly given as \u2018CPL(\u03bcm/mm2). The corresponding Figure legend,In Figure 1j, the x-axis \u2018CPL(\u00d710j) Graph showing a linear correlation between the ADC values and the cell perimeter length per pellet area of HeLa S3, HL-60, and CV-1 cells.\u201d\u201c(should read:j) Graph showing a linear correlation between the ADC values and the cell perimeter length per pellet area of HeLa S3, HL-60, and CV-1 cells.\u201d\u201c,should read:"}
+{"text": "Scientific Reports4: Article number: 709110.1038/srep07091; published online: 11182014; updated: 11122015This Article contains errors in Figure 2d and Figure 2e.In the last two histograms of Figure 2d, the y-axis should read \u2018MK-801\u2019 and \u2018MK-801+MH\u2019.In the last two histograms of Figure 2e, the y-axis should read \u2018Ngb\u2019 and \u2018Ngb+MH\u2019.The correct Figure 2d and Figure 2e appear below as"}
+{"text": "There are errors in the first sentence of the \u201cTargeted deep sequencing\u201d section of the Materials and Methods. The correct sentence is: A 169-bp fragment containing the human MPL sequence (43349278 to 43349446 of NC_000001.11) was PCR-amplified from genomic or standard plasmid DNA using forward (5\u2032- TGACCGCTCTGCATCTAGTGC -3\u2032) and reverse (5\u2032-GGTCACAGAGCGAACCAAGA-3\u2032) primers (see above).There is an error in"}
+{"text": "Unfortunately, the original version of this article containeLykourgos Christos Alexakis was incorrectly assigned affiliation \u201cMahidol-Oxford Tropical Medicine Research Unit (MORU), Mahidol University, Bangkok 10400, Thailand\u201d (affiliation number 2), instead of \u201cAide M\u00e9dicale Internationale (AMI), Mae Sot, Tak, Thailand\u201d (affiliation number 4 in this erratum).All affiliations are correctly included in full in this erratum."}
+{"text": "The paper titled \u201cSystem Accuracy Evaluation of the GlucoRx Nexus Voice TD-4280 Blood Glucose Monitoring System\u201d , publish"}
+{"text": "Also, in Figure 1 the term \u201cNormal Dementia\u201d should have read\u201cNon-Alzheimer Group\u201d. The article has since been corrected online.In the article \u201cAn Increased Risk of Reversible Dementia May Occur After ZolpidemDerivative Use in the Elderly Population: A Population-Based Case-ControlStudy\u201d,"}
+{"text": "Scientific Reports5: Article number: 982110.1038/srep09821; published online: 04282015; updated: 10092015This Article contains typographical errors.In the Results section under subheading \u2018Simultaneous silence and HOIs of hippocampal neurons\u2019{\u03b8i,\u03b8ij} were adjusted to fit these statistics.\u201d\u201cThe parameters should read:{\u03b8i,\u03b8ij} were adjusted to fit these statistics.\u201d\u201cThe parameters In the Results section under subheading \u2018Simultaneous silence is a ubiquitous feature of HOIs\u2019\u201cBy expanding the SS term into the standard HOI-coordinates, we obtainshould read:\u201cBy expanding the SS term into the standard HOI-coordinates, we obtainIn the Result section under subheading \u2018Alternating signs of HOIs predicted by SS\u2019, equation (2)should read:In the Methods section under subheading \u2018A dichotomized gaussian (DG) model\u2019,i-th neuron (\u201cThe binary output of the should read:i-th neuron (\u201cThe binary output of the In addition,\u201cThe correlation coefficient between 2 output neurons is given by should read:\u201cThe correlation coefficient between 2 output neurons is given by In addition,m neurons are active and N-m neurons are inactive is given\u201d\u201cThe probability that exactly should read:m neurons are active and N-m neurons are inactive is given by\u201d\u201cThe probability that exactly In addition,\u201cThe signal for detecting the input correlation is given by should read:\u201cThe signal for detecting the input correlation is given by"}
+{"text": "After publication of this study , the aut\u201cThis work was partly funded by Funda\u00e7\u00e3o para a Ci\u00eancia e Tecnologia (FCT), in the framework of the project PTDC/SAU-ENB/117631/2010, which is cofinanced by FEDER, through Programa Operacional Fatores de Competitividade - COMPETE of QREN (reference FCOMP-01-0124-FEDER-021141).\u201d"}
+{"text": "Scientific Reports6: Article number: 22610; 10.1038/srep22610 published online: 03072016; updated: 04292016.This Article contains typographical errors.In Equation 12,should read:In the Acknowledgements section,\u201cThis work is funded by the AIRC MFAG grant 17412, partially supported by partially supported by the \u201cStart-up Packages and PhD Program\u201d project\u201d.should read:\u201cThis work is funded by the AIRC MFAG grant 17412, partially supported by the \u201cStart-up Packages and PhD Program\u201d project\u201d."}
+{"text": "Zingiber zerumbet (L.) Smith: A Review of Its Ethnomedicinal, Chemical, and Pharmacological Uses\u201d [ Z. zerumbet.\u201d The correct caption text should have read \u201cFigure 1: The leaves and inflorescences of Z. zerumbet. .\u201d The new caption has been corrected in place.The article titled \u201cal Uses\u201d has been"}
+{"text": "A 77-year-old man with a history of bypass surgery following an anterior myocardial infarction was admitted with a VT storm Fig.\u00a0. Coronar"}
+{"text": "Therefore, the correct results read as follows: \u201cF \u200a=\u200a 7.43, All simple contrasts are described incorrectly as F-values, though they should be t-values."}
+{"text": "Since publication of our article , we have\u201cThe direction of association of BL1 with pCR or minimal residual cancer burden (RCB) in the 2188-gene model was similar (OR\u2009=\u20091.91) but did not reach significance (OR\u2009=\u20090.14).\u201dThis has been corrected to:\u201cThe direction of association of BL1 with pCR or minimal residual cancer burden (RCB) in the 2188-gene model was similar (OR\u2009=\u20091.91) but did not reach significance (p\u2009=\u20090.14).\u201dWe regret the error."}
+{"text": "There were 12 autonomic phenomena in this category[unspecific, analgesic effect, on various headaches. Our mean indomethacin continuation dosage was: 83 mg (range: 50-150), while in Goadsby's series it was 176 mg (25-500). HC is the unilateral headache with the least \u201clocal\u201d autonomic features, \u201cmigrainous\u201d and \u201cvascular\u201d components. It is a rather \u201cpure\u201d headache. The present classification brings HC nearer to other unilateral headaches with local autonomic symptoms, a misunderstood policy. CPH is exceptional with clinical similarities; the absolute indomethacin effect suggests a shared, core pathogenesis.Sjaastad & Spierings described \u201cHemicrania continua\u201d (HC) in 1984: permane category, with a"}
+{"text": "There is an error in the third sentence of the second paragraph under the \u201cDNA extraction, amplification and next generation sequencing\u201d subheading of the Materials and Methods section. The correct sentence is: The primer pair was labelled 18S_allshorts (Forward 5\u2019-TTTGTCTGSTTAATTSCG-3\u2019 and Reverse 5\u2019-TCACAGACCTGTTATTGC -3\u2019)."}
+{"text": "The\u00a0Results section in the Abstract erroneously reads \"57-year-old-male\u201d but should instead read \"59-year-old-male\u201d as it is correctly written later in the article."}
+{"text": "After publication of the original article we were This work was supported by ARIA Project PTDC/DTP-SAP/1522/2012 from Foundation for Science and Technology (Funda\u00e7\u00e3o para a Ci\u00eancia e Tecnologia - FCT) co-financed by European Regional Development Fundthrough Operational Competitiveness Programme (COMPETE) FCOMP \u221201-0124-FEDER-028797; and by the Portuguese CCDR-N for funding the research project \u201cE2BE\u201d (NORTE-07-0124- FEDER-000036), through the European Union FEDER programme."}
+{"text": "Scientific Reports5: Article number: 1576010.1038/srep15760; published online 10262015; updated on 01122016In the Methods section of this Article, all instances of \u2018g/u\u2019 should have been removed. The Methods section should read:E of the S+12\u039e term of an Aln cluster in Born-Oppenheimer approximation is given by O(S+12\u039e), are calculated using the GAMESS package.40 We use both Hartree-Fock (HF) method and complete active space self-consistent field (CAS-SCF) method. Our CAC-SCF many-evectron wavefunctions contain configuration interactions among the 3s and 3p valence shell and empty 3d-derived orbitals: CAS and CAS for Al2 and Al3, respectively. CAS stands for a CAS-SCF calculation with n active spaces and m active electrons. Atomic orbitals are expanded within the aur-cc-pVTZ basis set, and all nuclear positions are relaxed. This gives a virial ratio of \u2013V/T\u2009=\u20092.00000\u2009\u00b1\u20090.00003 for each molecular term S+12\u039e.The total energy"}
+{"text": "In the paper titled \u201cEnoxaparin Prevents Steroid-Related Avascular Necrosis of the Femoral Head\u201d , Rainer"}
+{"text": "Terminalia catappa Exerts Antimetastatic Effects on Hepatocellular Carcinoma through Transcriptional Inhibition of Matrix Metalloproteinase-9 by Modulating NF-\u03baB and AP-1 Activity\u201d [In the paper \u201c"}
+{"text": "Scientific Reports6: Article number: 2033110.1038/srep20331; published online: 02032016; updated: 03042016The original version of this Article contained errors in the spelling of the authors Encarnaci\u00f3n Medina-Carmona, Esperanza Pad\u00edn-Gonzalez and Noel Mesa-Torres which were incorrectly given as Medina-Carmona Encarnaci\u00f3n, Pad\u00edn-Gonzalez Esperanza and Mesa-Torres Noel.In addition, the \u2018How to cite this article\u2019 section quoted an incorrect abbreviation for Encarnaci\u00f3n Medina-Carmona. These errors have now been corrected in the PDF and HTML versions of the Article."}
+{"text": "The sentence should read: \u201cIn addition, Pmec-7 anoh-1b::mCherry also leads to the recovery of PS exposure on necrotic neuron surfaces .\u201dIn the Results section, under the subheading \u201cANOH-1 acts in touch neurons to promote the removal of necrotic touch neurons\u201d, the sentence \u201cIn addition, P"}
+{"text": "The article has since been corrected online.In the article \u201cEpstein\u2013Barr Virus-Positive T/NK-Cell Lymphoproliferative Disorders Manifested as Gastrointestinal Perforations and Skin Lesions: A Case Report\u201d,"}
+{"text": "Also, in Figure 3, the y-axis incorrectly read \u201cOverall survival (%)\u201d. It should have read \u201cDisease-free survival (%)\u201d. The article has since been corrected online.In the article \u201cHepatic Resection as a Safe and Effective Treatment for Hepatocellular Carcinoma Involving a Single Large Tumor, Multiple Tumors, or Macrovascular Invasion,"}
+{"text": "The unit for concentrations of IFN-\u03b2 was pg/dL. Here, we provide the right form of In \u201cHypothermia Reduces Toll-Like Receptor 3-Activated Microglial Interferon-"}
+{"text": "Scientific Reports6: Article number: 2550610.1038/srep25506; published online: 05032016; updated: 06272016.rs714598\u201d should read \u201crs713598\u201d.In this Article, all instances of \u201c"}
+{"text": "The grant number 3130441 is missing from the funding section. The correct funding statement is.http://www.conicyt.cl/fondecyt/) , and the Programa de Financiamiento Basal de la Comisi\u00f3n Nacional de Investigaci\u00f3n Cient\u00edfica y Tecnol\u00f3gica (http://www.conicyt.cl/pia/category/linea?s-del-programa/creacion-consolidacion-ce?ntros/ [grant number PFB16]. The funders had no role in study design, data collection and analysis, decision to publish, or preparation of the manuscript.This work was supported by the Fondo Nacional de Desarrollo Cient\u00edfico y Tecnol\u00f3gico Fondecyt ("}
+{"text": "Abu Hanna's name was originally presented incorrectly. The article has since been corrected online.In the article \u201cPerioperative Blood Glucose Levels <150\u200amg/dL are Associated With Improved 5-Year Survival in Patients Undergoing On-Pump Cardiac Surgery: A Prospective, Observational Cohort Study\u201d,"}
+{"text": "Aedes aegypti, (b)Aedes albopictus and (c) Culex quinquefasciatus, across detritus ratios ,\u201d incorrectly displays as a duplicate of Fig 1. Please see the correct"}
+{"text": "After the publication of this work , a few pPlasma miRNA analysis was performed on 18 HNSCC patients treated with local X-ray-irradiation using a linear accelerator [\u2026].The clinical data of patient 2 are incorrect. A revised version of Table\u00a017 out of 18 patients received concurrent chemotherapy (13 patients received 5-fluorouracil (5-FU) plus mitomycin C (MMC) [21], 3 patients MMC and 1 patient cisplatin weekly)\u201d.miR-425-5p. The correct sentence is:There is a typing error in the Results section concerni\u201cThe qRTPCR assays confirmed an up-regulation of miR-425-5p with a p value close to the significance level (p\u2009=\u20090.052) [\u2026]\u201d.The corrections do not affect any results or conclusions of the published work."}
+{"text": "Scientific Reports5: Article number: 1545810.1038/srep15458; published online 10212015; updated: 01272016There is an error in the Materials and Methods section of this Article.31\u201d\u201cA rainbow trout double haploid clone, named B57should read:31\u201d\u201cRainbow trout from the INRA \u2018synthetic\u2019 strain"}
+{"text": "All three authors have PhDs. The article has since been corrected online.In the article \u201c(1\u21923)- \u03b2-D-Glucan Levels Correlate With Neurocognitive Functioning in HIV-Infected Persons on Suppressive Antiretroviral Therapy: A Cohort Study\u201d,"}
+{"text": "In the Results, under \u201cProduct-rule Mutations Lead to Sparse Structures, Sum-rule Mutations do not\u201d, the Symmetric product-rule should read as follows:"}
+{"text": "Following publication of the original article in BMC Genetics , it was Gossypium arboretum L.Furthermore, the keywords \u201cRehalose-6-phosphase synthase (TPS) and Gossypium arboretum\u201d are incorrect and should read: Trehalose-6-phosphase (TPS) and Also, in the \u201cMethods-Expression patterns analysis of cotton TPSs under stresses\u201d section, two extra blanks were introduced in \u201c2- \u0394 \u0394CT\u201d in the last sentence. The sentence should read: Relative quantitative analysis of target genes was calculated with the 2-\u0394\u0394CT method.The original article has been updated with the changes listed above."}
+{"text": "In Rana et al. , the folThe authors used the terms \u201cmicroRNA-21 mRNA\u201d and \u201cmicroRNA-29b mRNA,\u201d which are scientifically incorrect. The correct terms are \u201cmicroRNA-21\u201d and \u201cmicroRNA-29b.\u201dThe authors apologise for the errors."}
+{"text": "Why Fish Oil Fails: A Comprehensive 21st Century Lipids-Based Physiologic Analysis\u201d [The article titled \u201c"}
+{"text": "Scientific Reports5: Article number: 10778; 10.1038/srep10778 published online: 06022015; updated: 10202015.In this Article, the legend of Fig. 6 contains typographical errors.a) Gel and (b) HA/Gel scaffolds. Data are expressed as fold-regulation which represents fold-change results in a biologically expressive manner. Fold-regulation is equal to the fold-change (2\u2212\u0394\u0394Ct) for fold-change values greater than one, which indicate an up-regulation. Fold-change values less than one indicate a down-regulation: in this case the fold-regulation is the negative inverse of the fold-change (\u22121/2\u2212\u0394\u0394Ct). a\u2009=\u2009p\u2009<\u20090.05 vs CTRL; b\u2009=\u2009p\u2009<\u20090.05 vs 25/75 scaffolds; c\u2009=\u2009p\u2009<\u20090.05 vs 60/40 scaffolds.\u201d\u201cChanges in bmp2, runx2 and osteocalcin (bglap) mRNA expression in PDPCs seeded on (should read:a) HA/Gel and (b) Gel scaffolds. Data are expressed as fold-regulation which represents fold-change results in a biologically expressive manner. Fold-regulation is equal to the fold-change (2\u2212\u0394\u0394Ct) for fold-change values greater than one, which indicate an up-regulation. Fold-change values less than one indicate a down-regulation: in this case the fold-regulation is the negative inverse of the fold-change (\u22121/2\u2212\u0394\u0394Ct). *\u2009=\u2009p\u2009<\u20090.05 vs CTRL; #\u2009=\u2009p\u2009<\u20090.05 vs 25/75 scaffolds; \u00a7\u2009=\u2009p\u2009<\u20090.05 vs 60/40 scaffolds.\u201d\u201cChanges in bmp2, runx2 and osteocalcin (bglap) mRNA expression in PDPCs seeded on ("}
+{"text": "Scientific Reports5: Article number: 13908; 10.1038/srep13908published online: 09112015; updated: 10292015In this Article, all instances of \u201cArabidoPS Is\u201d should read \u201cArabidopsis\u201d"}
+{"text": "Regulation of retinal axon growth by secreted Vax1 homeodomain protein. Published 8 September 2014In the published article there was a typographical error in Figure 9B. The fourth and fifth labels on the x-axis were wrongly given as \u20186X-His + Robo-Fc\u2019 and \u2018Vax1 + Robo3-Fc\u2019. These labels should be \u20186X-His + Robo1-Fc\u2019 and \u2018Vax1 + Robo1-Fc\u2019 respectively.This article has been corrected accordingly."}
+{"text": "N-Glycan Branching, and Expression of O-Glycans in Seminal Plasma of Infertile Men\u201d [In the paper titled \u201cThe Analysis of Sialylation,ile Men\u201d , there w"}
+{"text": "F.pedrosoi\u201d sub-section of the \u201cMaterials and Methods\u201d section. The correct catalog number is \u201cMAB17561, R&D systems.\"The catalog number for the anti-mouse Dectin-1 blocking mAb is listed incorrectly as \u201cFAB17561, R&D systems\u201d in the \u201cCell culture, Dectin-1 blockage, and stimulation with"}
+{"text": "Scientific Reports 10.1038/s41598-022-21440-9, published online 07 October 2022Correction to: The original version of this Article contained an error in the Funding section.\u201cThis study was partially funded by the Italian Ministry of Health\u2019s \u201c5 Per Mille\u201d program.\u201dnow reads:\u201cThis study was partially funded by the Italian Ministry of Health under the \u201c5 per mille\u201d program.\u201dThe original Article has been corrected."}
+{"text": "This article has been corrected.1In the Original Investigation titled \u201cIncubation Period of COVID-19 Caused by Unique SARS-CoV-2 Strains: A Systematic Review and Meta-analysis,\u201d"}
+{"text": "Scientific Data 10.1038/s41597-022-01312-7, published online 10 May 2022Correction to: In this article the funding information relating to support from Coordena\u00e7\u00e3o de Aperfei\u00e7oamento de Pessoal de N\u00edvel Superior - Brasil (CAPES) - Finance Code 001 was omitted. The original article has been corrected."}
+{"text": "Global Qualitative NursingResearch. https://doi.org/10.1177/23333936221128241Karlsson, M., Karlsson, C., and Kas\u00e9n, A. (2022). The Caring Mission \u2013 HealthcarePersonnel\u2019s Inner Driving Force in End-of-Life Care. The authors would like to notify that since the original online publication, the articletitle has been changed from \u201cThe Caring Mission\u2014Healthcare Personnel\u2019s Inner DrivingForce in End-of-Life Care\u201d to \u201cThe Caring Mission \u2013 Nursing Personnel\u2019s Inner DrivingForce in End-of-Life Care\u201d."}
+{"text": "The diagnosis and management of myocardial infarction with nonobstructive coronary arteries (MINOCA) are difficult due to its variable presentations, different causes, and challenging diagnostic approaches. Cardiac imaging modalities including cardiac magnetic resonance (CMR) are very useful tools for diagnosing and managing MINOCA. Myocardial infarction (MI) can be caused by coronary emboli that can\u00a0be contributed\u00a0to atrial fibrillation (AF). Rarely, coronary embolism with resultant MINOCA can occur after direct\u202fcurrent\u202fcardioversion (DCCV) even in fully anticoagulated\u202fpatients.\u202fWe present a\u202frare case of a coronary\u202fembolism following DCCV as well as a CMR finding of\u202fmicrovascular obstruction\u202f(MVO),\u202fwhich has\u202fnot previously been reported\u202fafter DCCV. This case also emphasizes the\u202fvalue\u202fof obtaining a CMR for patients with MINOCA. Determining the precise etiology\u202fof\u202fmyocardial\u202finfarction with nonobstructive coronary arteries (MINOCA) can be challenging. Cardiac magnetic resonance (CMR) imaging is very helpful in diagnosing, treating, and risk-stratifying patients with\u202fMINOCA. Cardiac emboli are one of the causes of myocardial infarction (MI), and atrial fibrillation (AF) accounts for\u202fapproximately\u202f15% of cardiac\u202femboli .A 51-year-old man with a past medical history of paroxysmal AF, hypertension, and morbid obesity presented to the emergency department with worsening dyspnea and lower extremity edema and was hospitalized for\u202fde novo\u202facute decompensated heart failure (ADHF). He was noted to be in AF with a rapid ventricular response. Transthoracic echocardiography revealed\u202fsevere systolic dysfunction\u202fwith a left ventricular ejection fraction (LVEF) of 20-25%. Coronary angiography demonstrated only minimal luminal coronary artery disease\u202f,\u00a0CMR was performed using a 1.5 T scanner . Retrospective ECG-gated breath-hold steady-state free precession cine images were obtained in short-axis slices at 10 mm intervals and two-chamber, three-chamber, and four-chamber views. This revealed normal left ventricular size and ejection fraction and a hypokinetic basal anterolateral segment. Gadolinium-based contrast agent was injected in a 15-mmol bolus and late gadolinium\u202fenhancement\u202f(LGE)\u202fimages were acquired 10 minutes later by using an inversion recovery gradient echo sequence. This revealed dense transmural hyperenhancement in the basal anterolateral myocardium with central\u202fhypoenhancement\u202fconsistent with microvascular\u202fobstruction , and absence of obvious causes of acute MI. Differential diagnoses of MINOCA include plaque erosion or rupture\u202fwith spontaneous recanalization, coronary embolism, spontaneous coronary artery dissection, microvascular disease, stress\u202fcardiomyopathy, and myocarditis. Due to the\u202fbroad differential diagnosis of MINOCA, treatment and prognosis vary remarkably\u202f,4. CMR iMVO\u202fis seen following coronary reperfusion therapy, especially after prolonged\u202fmyocardial ischemia.\u202fIt\u202fis caused by\u202fmicrovascular damage impairing blood flow\u202fthrough\u202fdamaged capillaries\u202fand is the CMR\u202fvisual\u202frepresentation of\u202fthe no-reflow phenomenon\u202f,8. On eaAF, infective endocarditis, and prosthetic valve thrombosis are the most common causes of coronary emboli; AF accounts for about 15% of coronary emboli .This case illustrates\u202fthe importance of obtaining CMR in patients with MINOCA.\u202fAlthough our\u202fpatient did not present with\u202fsymptoms of an\u202fMI, CMR was able to identify\u202fa\u202fsilent embolic\u202finfarct\u202fafter DCCV for AF.\u202fDespite its paucity, DCCV in AF patients can cause coronary\u202fembolism even in fully anticoagulated patients."}
+{"text": "Correction: Surgical Case Reports (2022) 8(1):148 https://doi.org/10.1186/s40792-022-01498-3Following publication of the original article , the autAuthor name \u201cSyunsuke Doi\u201d was mistakenly spelled, the correct author name should read \u201cShunsuke Doi\u201d.Author name \u201cSyouhei Kishida\u201d was mistakenly spelled, the correct author name should read \u201cShouhei Kishida\u201d.The original article has been"}
+{"text": "An. balabacensis balaba Rev was written as 5\u2032-GC ACC GCT CTT GGC GGG ATA T-3\u2032 224\u2013228 bp. The correct In the original publication , there i"}
+{"text": "Scientific Reports 10.1038/srep01393, published online 6 March 2013Correction to: This Article contains errors in Figures\u00a01 and 2.In Figure 1C, the two top panels and the two bottom panels are reversed. Additionally, the panel labels contain errors, where the left top panel label should read \u201cTLR-deficient Control\u201d, the right top panel label should read \u201cTLR-deficient MPTP\u201d and the left bottom panel label should read \u201cWT Control\u201d.In Figure 2C, the panel labels contain errors, where the left top panel label should read \u201cWT Control\u201d, the left bottom panel label should read \u201cTLR-deficient Control\u201d and the right bottom panel label should read \u201cTLR-deficient MPTP\u201d.The correct Figures"}
+{"text": "In the corresponding author section, the address should have been \u201c1220 19th St NW, Washington, DC 20036.\u201d This article was corrected online.In the JAMA Forum titled \u201cHealth Insurance Coverage After the COVID-19 Public Health Emergency Ends,\u201d"}
+{"text": "Successful adolescence depends on ability to correctly understand emotionally expressive gestures, especially symbolic (same meaning for everyone) and expressive . Presence of an internal mismatch in adolescent\u2019s self-esteem between what he shows in society and what he really feels can lead to difficulties in forming an adequate adult self-esteem.Adolescents with affective disorders (F31) -12, normal adolescents - 32. Ages 12-17.Recognition of emotionally expressive movements: postures&gestures (gestures-test), direct self-esteem by Dembo-Rubinstein test and indirect self-esteem by color attitude test by Etkind.The Mann-Whitney test showed significant differences between samples in terms of self-esteem gap - \u201cmind\u201d , \u201ccharacter\u201d , \u201chappiness\u201d , gestures-test \u201csymbolic\u201d , \u201cexpressive\u201d , \u201cemotions\u201d . Cluster analysis divided each of groups into two distinct clusters. Normal: Cluster1 small self-esteem gap, good gesture recognition, negative pole of emotions prevails. Cluster2 small self-esteem gap, worse gesture recognition, pole of emotions is closer to positive. Affective: Cluster1 large self-esteem gap in \u201cmind\u201d, good gesture recognition. Cluster2 large self-esteem gap in \u201ccharacter\u201d, good gesture recognition and bright negative pole of emotions.Gestures recognition in normal group is significantly higher than in affective disorder group. Normal adolescents clusters are distinguished by change in gaps throughout self-esteem and pole of emotional recognition. Affective disorder clusters differ by significant gap in one of self-esteem parameters, as well as in the degree of emotional recognition. Those with the largest \u201ccharacter\u201d gap are more likely to attribute negative emotions to gestures than those with larger \u201cmind\u201d gap.No significant relationships."}
+{"text": "To estimate the incidence of, and trends in, catastrophic health expenditure in sub-Saharan Africa.We systematically reviewed the scientific and grey literature to identify population-based studies on catastrophic health expenditure in sub-Saharan Africa published between 2000 and 2021. We performed a meta-analysis using two definitions of catastrophic health expenditure: 10% of total household expenditure and 40% of household non-food expenditure. The results of individual studies were pooled by pairwise meta-analysis using the random-effects model.I2\u2009=\u200999.9%) for a threshold of 10% of total household expenditure and 8.7% for a threshold of 40% of household non-food expenditure. Countries in central and southern sub-Saharan Africa had the highest and lowest incidence, respectively. A trend analysis found that, after initially declining in the 2000s, the incidence of catastrophic health expenditure in sub-Saharan Africa increased between 2010 and 2020. The incidence among people affected by specific diseases, such as noncommunicable diseases, HIV/AIDS and tuberculosis, was generally higher.We identified 111 publications covering a total of 1\u2009040\u2009620 households across 31 sub-Saharan African countries. Overall, the pooled annual incidence of catastrophic health expenditure was 16.5% (95% confidence interval, CI: 12.9\u201320.4; 50 datapoints; 462\u2009151 households; Although data on catastrophic health expenditure for some countries were sparse, the data available suggest that a non-negligible share of households in sub-Saharan Africa experienced catastrophic expenditure when accessing health-care services. Stronger financial protection measures are needed. In particular, we aimed to estimate the magnitude of, and between-country variation in, the annual incidence of catastrophic health expenditure between 2000 and 2021 and to investigate trends over time.https://www.who.int/publications/journals/bulletin/) for studies published between 1\u00a0January 2000 and 30\u00a0September 2021 in the 48 countries of sub-Saharan Africa AND OR \u201chealth expenditures\u201d[All Fields] OR OR \u201chealth expenditure\u201d[All Fields])) OR AND AND (\u201cexpense\u201d[All Fields] OR \u201cexpenses\u201d[All Fields] OR \u201cexpensive\u201d[All Fields] OR \u201cexpensively\u201d[All Fields])) OR AND AND \u201cexpen*\u201d[All Fields]) OR AND (\u201cimpoverish\u201d[All Fields] OR \u201cimpoverished\u201d[All Fields] OR \u201cimpoverishes\u201d[All Fields] OR \u201cimpoverishing\u201d[All Fields] OR \u201cimpoverishment\u201d[All Fields])) OR AND (\u201cimpoverish\u201d[All Fields] OR \u201cimpoverished\u201d[All Fields] OR \u201cimpoverishes\u201d[All Fields] OR \u201cimpoverishing\u201d[All Fields] OR \u201cimpoverishment\u201d[All Fields])) AND (\u201cangola\u201d[MeSH Terms] OR \u201cangola\u201d[All Fields] OR \u201cangola s\u201d[All Fields] OR (\u201cbenin\u201d[MeSH Terms] OR \u201cbenin\u201d[All Fields] OR \u201cbenin s\u201d[All Fields]) OR (\u201cbotswana\u201d[MeSH Terms] OR \u201cbotswana\u201d[All Fields] OR \u201cbotswana s\u201d[All Fields]) OR (\u201cburkina faso\u201d[MeSH Terms] OR (\u201cburkina\u201d[All Fields] AND \u201cfaso\u201d[All Fields]) OR \u201cburkina faso\u201d[All Fields]) OR (\u201cburundi\u201d[MeSH Terms] OR \u201cburundi\u201d[All Fields]) OR (\u201ccabo verde\u201d[MeSH Terms] OR (\u201ccabo\u201d[All Fields] AND \u201cverde\u201d[All Fields]) OR \u201ccabo verde\u201d[All Fields]) OR (\u201ccameroon\u201d[MeSH Terms] OR \u201ccameroon\u201d[All Fields] OR \u201ccameroons\u201d[All Fields] OR \u201ccameroon s\u201d[All Fields]) OR OR \u201ccentral african republic\u201d[All Fields]) OR (\u201cchad\u201d[MeSH Terms] OR \u201cchad\u201d[All Fields]) OR (\u201ccomoros\u201d[MeSH Terms] OR \u201ccomoros\u201d[All Fields] OR \u201ccomoro\u201d[All Fields]) OR \u201cdemocratic republic congo\u201d[All Fields] OR \u201crepublic congo\u201d[All Fields] OR \u201cCote d'Ivoire\u201d[All Fields] OR OR \u201cequatorial guinea\u201d[All Fields]) OR (\u201ceritrea\u201d[MeSH Terms] OR \u201ceritrea\u201d[All Fields]) OR (\u201ceswatini\u201d[MeSH Terms] OR \u201ceswatini\u201d[All Fields]) OR (\u201cethiopia\u201d[MeSH Terms] OR \u201cethiopia\u201d[All Fields] OR \u201cethiopia s\u201d[All Fields]) OR (\u201cgabon\u201d[MeSH Terms] OR \u201cgabon\u201d[All Fields]) OR (\u201cgambia\u201d[MeSH Terms] OR \u201cgambia\u201d[All Fields] OR \u201cthe gambia\u201d[All Fields]) OR (\u201cghana\u201d[MeSH Terms] OR \u201cghana\u201d[All Fields] OR \u201cghana s\u201d[All Fields]) OR (\u201cguinea\u201d[MeSH Terms] OR \u201cguinea\u201d[All Fields] OR \u201cguinea s\u201d[All Fields] OR \u201cguineas\u201d[All Fields]) OR (\u201cguinea bissau\u201d[MeSH Terms] OR \u201cguinea bissau\u201d[All Fields] OR (\u201cguinea\u201d[All Fields] AND \u201cbissau\u201d[All Fields]) OR \u201cguinea bissau\u201d[All Fields]) OR (\u201ckenya\u201d[MeSH Terms] OR \u201ckenya\u201d[All Fields] OR \u201ckenya s\u201d[All Fields]) OR (\u201clesotho\u201d[MeSH Terms] OR \u201clesotho\u201d[All Fields]) OR (\u201cliberia\u201d[MeSH Terms] OR \u201cliberia\u201d[All Fields] OR \u201cliberia s\u201d[All Fields]) OR (\u201cmadagascar\u201d[MeSH Terms] OR \u201cmadagascar\u201d[All Fields] OR \u201cmadagascar s\u201d[All Fields]) OR OR OR (\u201cmauritania\u201d[MeSH Terms] OR \u201cmauritania\u201d[All Fields]) OR (\u201cmauritius\u201d[MeSH Terms] OR \u201cmauritius\u201d[All Fields]) OR (\u201cmozambique\u201d[MeSH Terms] OR \u201cmozambique\u201d[All Fields] OR \u201cmozambique s\u201d[All Fields]) OR (\u201cnamibia\u201d[MeSH Terms] OR \u201cnamibia\u201d[All Fields]) OR (\u201cniger\u201d[MeSH Terms] OR \u201cniger\u201d[All Fields]) OR (\u201cnigeria\u201d[MeSH Terms] OR \u201cnigeria\u201d[All Fields] OR \u201cnigeria s\u201d[All Fields]) OR (\u201crwanda\u201d[MeSH Terms] OR \u201crwanda\u201d[All Fields] OR \u201crwanda s\u201d[All Fields]) OR \u201cSao Tome and Principe\u201d[All Fields] OR OR (\u201cseychelles\u201d[MeSH Terms] OR \u201cseychelles\u201d[All Fields]) OR \u201cSierra Leone\u201d[All Fields] OR OR \u201cSouth Africa\u201d[All Fields] OR \u201cSouth Sudan\u201d[All Fields] OR (\u201csudan\u201d[MeSH Terms] OR \u201csudan\u201d[All Fields] OR \u201csudans\u201d[All Fields] OR \u201csudan s\u201d[All Fields]) OR (\u201ctanzania\u201d[MeSH Terms] OR \u201ctanzania\u201d[All Fields] OR \u201ctanzania s\u201d[All Fields]) OR (\u201ctogo\u201d[MeSH Terms] OR \u201ctogo\u201d[All Fields]) OR (\u201cuganda\u201d[MeSH Terms] OR \u201cuganda\u201d[All Fields] OR \u201cuganda s\u201d[All Fields]) OR (\u201czambia\u201d[MeSH Terms] OR \u201czambia\u201d[All Fields] OR \u201czambia s\u201d[All Fields]) OR (\u201czimbabwe\u201d[MeSH Terms] OR \u201czimbabwe\u201d[All Fields] OR \u201czimbabwe s\u201d[All Fields])))Note: Databases were searched for articles published between 2000 and 2021.Box\u00a02Central Africa: Burundi, Cameroon, Central African Republic, Chad, Congo, Democratic Republic of the Congo, Equatorial Guinea, Gabon and Sao Tome and Principe.Eastern Africa: Comoros, Djibouti, Eritrea, Ethiopia, Kenya, Madagascar, Mauritius, Rwanda, Seychelles, Somalia, South Sudan, Sudan, Uganda and United Republic of Tanzania.Southern Africa: Angola, Botswana, Eswatini, Lesotho, Malawi, Mozambique, Namibia, South Africa, Zambia and Zimbabwe.Western Africa: Benin, Burkina Faso, Cabo Verde, C\u00f4te d\u2019Ivoire, Gambia, Ghana, Guinea, Guinea-Bissau, Liberia, Mali, Niger, Nigeria, Senegal, Sierra Leone and Togo.Notes: The list includes the 48 countries of the sub-Saharan African region, as defined by the World Bank.Box\u00a03Observational or interventional studies (which included data on the pre-intervention period) published between 2000 and 2021 that reported population-level data for any of the 48 sub-Saharan African countries defined by the World Bank .9Studies reported in the published or unpublished (i.e. grey) literature.Publications that reported the incidence of catastrophic health expenditure for all individuals of all ages in the community as identified through household surveys or through studies based in health facilities that were representative of the entire community.Peer-reviewed publications in Arabic, English, French, Portuguese, Spanish or Kiswahili.Publications that estimated catastrophic health expenditure using either total household expenditure or income or non-subsistence expenditure.Publications that reported data on catastrophic health expenditure that could be extracted as an independent outcome along with the study population (i.e. the denominator).Publications that reported the incidence or proportion of catastrophic health expenditure based on a retrospective analysis of patients\u2019 charts, an analysis of hospital or pharmacy revenues, or a national or subnational budget analysis.Publications that reported the incidence of catastrophic health expenditure for all individuals of all ages based on studies carried out in one or several health facilities that were not representative of the entire community.Interventional studies that reported the incidence of catastrophic health expenditure only after the intervention.Studies that used methods for estimating catastrophic health expenditure that were not clearly reported or defined or that reported catastrophic expenditure using terms such as \u201cexcessive out-of-pocket health care\u201d or the multidimensional poverty index.Articles that reported data for a population already included in the systematic review.Case reports, case series, systematic reviews, narrative reviews, letters to editors, commentary pieces and study protocols.,,Three authors independently extracted data from the included studies on: (i)\u00a0study countries; (ii)\u00a0year of publication; (iii)\u00a0study design; (iv)\u00a0data sources; (v)\u00a0year of data collection; (vi)\u00a0study population; (vii)\u00a0sample size; and (viii)\u00a0the incidence of catastrophic health expenditure as determined using a threshold of 10% of total household expenditure or 40% of household non-food expenditure or both. For surveys spanning several years, we regarded the survey\u2019s first year as the date of the survey. We grouped countries into four regions using the African Union classification and into,,Although studies have used different thresholds to define catastrophic health expenditure,Three authors independently assessed study quality using the appraisal tool for cross-sectional studies (AXIS) \u2013 a 20-question checklist designed to assess a study\u2019s risk of bias across five domains: introduction, methods, results, discussion and other information.2\u03c7 test with Cochran\u2019s Q statistic and quantified using the I2 statistic. We used Stata v. 17.0 for all statistical analyses and an \u03b1 of 0.05 was the cut-off for statistical significance.We used descriptive statistics to summarize the studies\u2019 characteristics. Individual results were pooled by pairwise meta-analysis using the random-effects model (DerSimonian-Laird approach) and the MetaProp Stata command with the Freeman-Tukey double arcsine transformation.We assessed the sensitivity of the pooled estimates to sample size by excluding the 10% of studies with the smallest sample size and the 10% with the largest sample size. The robustness of the estimates was assessed by excluding: (i)\u00a0studies with the largest and smallest sample sizes; (ii)\u00a0studies using pre-intervention data; (iii)\u00a0low-quality studies; and (iv)\u00a0studies that were not peer reviewed. We performed subgroup analyses along multiple dimensions, including: (i)\u00a0the data collection period ; (ii)\u00a0region ; (iii)\u00a0the country\u2019s income status ; (iv)\u00a0data type (i.e. primary or secondary); (v)\u00a0publication status (i.e. peer-reviewed or not); (vi)\u00a0UHC service coverage index ;,,,Finally, we performed a meta-regression analysis to explore factors associated with between-study heterogeneity for all catastrophic health expenditure incidence estimates pooled from 10 or more datapoints.We assessed overall evidence quality using the Grading of Recommendations, Assessment, Development and Evaluation (GRADE) approach.https://www.who.int/publications/journals/bulletin/):\u2013Our initial search identified 1623 studies, including 36 from Google Scholar and citation tracking . After rThe quality of 95 of the 111 included studies (85.6%) was rated as high (AXIS score: 11\u201320), whereas the quality of the remaining 16 (14.4%) was rated as low (AXIS score: 0\u201310). When the risk of bias was weighted according to each study\u2019s sample size, studies covering 88.6% (921\u2009704/1\u2009040\u2009620) of households included were rated as having a low risk of bias, whereas those covering 11.4% (118\u2009916/1\u2009040\u2009620) were judged to have some quality concerns or were rated as having a high risk of bias. Of note, all studies included used sample frames and sampling techniques that closely represented the underlying population (as assessed using AXIS tool items 5 and 6).When the threshold for catastrophic health expenditure was defined as 10% of total household expenditure, the pooled annual incidence across 50 datapoints, which covered 462\u2009151 households, was 16.5% ; (ii)\u00a0the country\u2019s income status ; and (iii)\u00a0the country\u2019s UHC service coverage index . Full details are available in the data repository.At the country level, Cameroon and Sudan had the highest and second highest incidence, at 65.0% (95% CI: 64.1\u201365.9) and 52.8% (95% CI: 52.1\u201353.5), respectively (details available in the data repository).When the threshold for catastrophic health expenditure was defined as 40% of household non-food expenditure, the pooled annual incidence across 84 datapoints, which covered\u2009795\u2009355 households, was 8.7% ; (ii)\u00a0study quality as assessed using the AXIS score ; (iii)\u00a0the country\u2019s income status ; and (iv)\u00a0the country\u2019s UHC service coverage index . Full details are available in the data repository.P-value\u20090.024) and study quality were independently associated with between-study differences in estimated pooled incidence. On average, studies that used secondary data reported a lower incidence of catastrophic health expenditure than those using primary data.At the country level, the Democratic Republic of the Congo and Mali had the highest and second highest incidence, at 21.9% (95% CI: 20.5\u201323.4) and 19.1% (95% CI: 18.1\u201320.2), respectively (details in the data repository).Estimates of the pooled incidence of catastrophic health expenditure for different disease groups were genP-value\u20090.003 when the threshold was 10% of total household expenditure and P-value\u2009<\u20090.001 when it was 40% of household non-food expenditure). We were unable to determine whether the small-study effect was driven by publication bias because there was substantial heterogeneity in the data. For both thresholds, trim-and-fill analysis suggested that publication bias was absent (details available in the data repository).For the population-level meta-analyses, visual inspection of funnel plots suggested there was no publication bias. However, Egger\u2019s test for small-study effects gave a significant result , a substantially higher figure than for the general population. This result is consistent with growing evidence that noncommunicable disease is a major driver of health-care costs for households.,Most sub-Saharan African countries are also burdened by epidemics of infectious diseases, including human immunodeficiency virus/acquired immunodeficiency syndrome (HIV/AIDS), tuberculosis, malaria and pneumonia.,Our study also showed that the incidence of catastrophic health expenditure was high among people using maternal, neonatal and child health care services. Vulnerable families in most sub-Saharan African countries who require health care for severe obstetric complications, neonatal admission, or paediatric hospitalization or surgery are particularly at risk.,,,Our study has several strengths. The study is a methodological improvement on previous studies as we used several measures of catastrophic health expenditure.,There are also some limitations. First, survey-based evaluations of catastrophic health expenditure understate the risk faced by poorer households that are unable to seek care because of costs and thus report zero health expenditure. Consequently, our estimates should be taken as lower bounds of the true incidence of catastrophic health expenditure in sub-Saharan Africa. Second, in the absence of a universal definition, we defined catastrophic health expenditure using the thresholds of 10% of total household expenditure and 40% of non-food expenditure, as did 96% of eligible studies. A different definition could have given different pooled incidences. Finally, information on the UHC service coverage index was available only for 2015 and 2017 and data on social insurance coverage were sparse,Despite these limitations, our study provides important evidence for discussions on policy and health financing reform. By demonstrating that a substantial portion of the sub-Saharan African population experience catastrophic costs when accessing health care, our study underscores the urgency of designing effective and inclusive social protection mechanisms. Although identifying interventions was not a study objective, our findings highlight the need for measures such as insurance premium exceptions, co-payment exceptions, free medications and free diagnostic tests for households at most risk. Developing a social insurance system is the preferred long-term solution to catastrophic health expenditure and impoverishment in the region. In the short-term, increased donor funding for both public health care services and country-specific social safety nets are needed to ensure access for poor people. In addition, country-specific, targeted programmes can help reduce health inequity. Regular, nationally representative surveys remain critical tools for tracking health expenditure and for identifying the individuals, households and disease populations most at risk.The catastrophic health expenses experienced by many people in sub-Saharan Africa threaten poverty alleviation efforts. Stronger financial protection is critically needed in the region if continued progress is to be made towards achieving UHC and meeting the attendant SDGs."}
+{"text": "Correction to: Mol Neurobiol (2022) 59(3):1954-196910.1007/s12035-022-02738-1The original version of this article unfortunately contained a writing mistake in the first paragraph of Material and Methods. The \u201cC57BL/6 rats\u201d should be \u201cSprague Dawley rats\u201d."}
+{"text": "Correction: BMC Public Health 22, 2266 (2022)https://doi.org/10.1186/s12889-022-14632-5The headings of table 1 were incorrect as it listed \u201cMSM\u201d three times.The last 2 lines of table 3 were missing \u201cIC95\u201dThe original publication of this article containeThe original article has been updated to correct these errors."}
+{"text": "Scientific Reportshttps://doi.org/10.1038/s41598-022-22343-5, published online 17 October 2022Correction to: The original version of this Article contained an error in Figure\u00a07, where the label of the Y-axis \u2018Relative TfR1 (OM/PM) protein expression\u2019 in panel (a) was incorrectly given as \u2018Relative TfR1 (PM/OM) protein expression\u2019. The original Figure\u00a0The original Article has been corrected."}
+{"text": "Int J Epidemiol 2022;51:537\u201346, https://doi.org/10.1093/ije/dyab140First published online: 14 October 2021, In the originally published version of this manuscript, an author\u2019s name was incorrect.The author\u2019s name should read \u201cMaria Feychting\u201d instead of \u201cMaria Feyching\u201d.This error has been corrected."}
+{"text": "Correction to: Naunyn-Schmiedeberg's Archives of Pharmacology (2022) 395:867\u201388510.1007/s00210-022-02250-2We regret to inform readers that our paper had mistakenly stated that tralokinumab \u201cis administered via weekly subcutaneous injection\u201d (p. 873). This should have read that tralokinumab \u201cis administered as a loading dose, followed by subcutaneous injection every other week\u201d. We apologize for any inconvenience this mistake may have caused."}
+{"text": "Questions on the timing and the center of the Indo-European language dispersal are central to debates on the formation of the European and Asian linguistic landscapes and are deeply intertwined with questions on the archaeology and population history of these continents. Recent palaeogenomic studies support scenarios in which the core Indo-European languages spread with the expansion of Early Bronze Age Yamnaya herders that originally inhabited the East European steppes. Questions on the Yamnaya and Pre-Yamnaya locations of the language community that ultimately gave rise to the Indo-European language family are heavily dependent on linguistic reconstruction of the subsistence of Proto-Indo-European speakers. A central question, therefore, is how important the role of agriculture was among the speakers of this protolanguage. In this study, we perform a qualitative etymological analysis of all previously postulated Proto-Indo-European terminology related to cereal cultivation and cereal processing. On the basis of the evolution of the subsistence strategies of consecutive stages of the protolanguage, we find that one or perhaps two cereal terms can be reconstructed for the basal Indo-European stage, also known as Indo-Anatolian, but that core Indo-European, here also including Tocharian, acquired a more elaborate set of terms. Thus, we linguistically document an important economic shift from a mostly non-agricultural to a mixed agro-pastoral economy between the basal and core Indo-European speech communities. It follows that the early, eastern Yamnaya of the Don-Volga steppe, with its lack of evidence for agricultural practices, does not offer a perfect archaeological proxy for the core Indo-European language community and that this stage of the language family more likely reflects a mixed subsistence as proposed for western Yamnaya groups around or to the west of the Dnieper River. The puzzle of Indo-European origins is both an age-old and an ever topical problem. With the recent emergence of palaeogenetic methods the current mood is that the debate on the Indo-European homeland, which for several decades was dominated by a rivalry between the Steppe Hypothesis \u20133 and thFirst of all, many of the details of the linguistic fragmentation of the Indo-European speech community, i.e. the exact phylogenetic model, are still unclear. While there is relative consensus on the basal status of the Anatolian branch, leading to the formulation of the Indo-Anatolian Hypothesis :30, the The second, here central problem concerns the linguistic reconstruction of Proto-Indo-European economy. The pastoralist elements in the lexicon, including terminology related to the herding of sheep and cattle, are universally acknowledged. The field of Indo-European studies has traditionally been more divided, however, over how much Proto-Indo-European vocabulary can be reconstructed for the cultivation of plant domesticates, particularly cereals. According to Schrader , Proto-IThe controversy around Proto-Indo-European agriculture for a large part derives from differences in the methods used for linguistic reconstruction and ties back into the first problem of Indo-European phylogeny. In the traditional, perfect starburst model, where all branches are equally distantly related, any term that occurs in as few as two branches must be dated back to the protolanguage. Hirt thus arrived at a multitude of agricultural terms, many based on cognate sets only found in the European languages, and assumed that these terms were lost in Indo-Iranian. In a more stratified model, in which the split between the European and Asian branches (i.e. Indo-Iranian and Tocharian) is primary, only terms with continuants in both can be accepted for Proto-Indo-European. According to the latter criterion, Schrader accepted a more limited number, assuming that many of the terms exclusive to the European languages were acquired in Europe after the Indo-Iranian split. These different approaches, one maximalist, the other minimalist, produce highly divergent results.either are found in a European and an Asian branch, or in Anatolian and at least one other branch like coarse grain by a sieve\u2019 [p\u00e1vana- \u2018sieve, winnowing basket\u2019. Although less certain, we may further adduce Alb. pah m. \u2018flour, chaff, dust\u2019 < *pouH-sk-o- formation, i.e. OHG fewen, fouwen \u2018sift \u2019 < *pouH-eie-, but the meaning is rather generic and not clearly linked to the processing of cereals.It is possible that *winnowed :38\u201342. Ma sieve\u2019 :1491 and*pou-io- :47), pos(t)p(e)uH-o-, the initial cluster is not a regular development of PIE *p.No further comparanda are at hand. While it seems tempting to compare Gk. \u03c0\u03c4\u03cd\u03bf\u03bd, Att. \u03c0\u03c4\u03ad\u03bf\u03bd n. \u2018winnowing-shovel, fan\u2019, as if from **rugh-i- ; ON rugr m. \u2018rye\u2019, OE ryge m. \u2018rye\u2019 < PGm. *rugi-; OFri. rogga, OS roggo, OHG rocko m. \u2018rye\u2019 < *ruggan-; MW ryc, W rhyg m. \u2018rye\u2019 PC *ruk\u012b/i\u032fo-\u2018Roggen\u2019 :874; *ru*rughyos :110\u20131; *o- \u2018rye\u2019 :164): Lirugh-i- with the meaning \u2018rye\u2019. The British word may derive from divergent *rik\u012b/i\u032fo- or *ruk\u012b/i\u032fo-, if not borrowed from Old English [Wanderwort represented by Gk. \u1f44\u03c1\u03c5\u03b6\u03b1, Psht. wr\u00ed\u017ee, Skt. vr\u012bh\u00ed- \u2018rice\u2019 [The Germanic and Balto-Slavic languages secure a North European formation * English :517. The English :II, 265 - \u2018rice\u2019 :283.ru\u0292\u0301e\u032eg, Udm. \u0292\u0301eg, dial. \u0292\u0301i\u017aek, which appear to continue Proto-Permic *ru\u0292\u0301\u00e4g. In view of the suffix *-\u00e4g, these have been adduced to substantiate a Proto-Iranian form *ru\u01f0aka- or *ru\u01f0ika- [ide\u032eg \u2018angel\u2019 ~ Oss. (i)daw\u00e6g, Ko. \u0144ebe\u032eg \u2018book\u2019 ~ MP nib\u0113g. No such form is attested anywhere in Iranian, however. Shu. (Bajui) r\u014d\u0263\u030c\u0292 and Rosh. r\u016fz \u2018ear (of grain)\u2019 [ru\u0237\u030cika-, rather continue *r\u0101rza- [Wanderwort [Importantly, forms resembling the European word appear in the Permic languages, cf. Ko. *ru\u01f0ika- , cf. Ko. grain)\u2019 :876\u20137, a *r\u0101rza- :67. In v *r\u0101rza- :3\u20134. Giv *r\u0101rza- , it is pnderwort :595.The wild progenitors of rye spread from the Near East during the Neolithic, possibly as a weed infesting other grains. The transition of rye from a weed to a cultivated cereal is thought to have occurred in the Carpathian region from the second millennium BCE .\u2020*su(e)h2-ro/eh2- : sueh2-reh2- ~ *suh2-reh2- for Baltic, but we are most probably dealing with a Wanderwort [suro ~ sura \u2018millet\u2019 and perhaps Komi ze\u032er \u2018oats\u2019 and Udmurt ze\u032er \u2018bromegrass\u2019. The Ossetic word is rather derived from the Iranian root *hvar-, cf. YAv. xvar- \u2018consume, eat\u2019 < PIIr. *suar-, which is not consistent with a laryngeal.Witczak reconstructs *nderwort :29 also ?*t\u1e31op-ero- (*k\u0302(\u00f3)pr\u0325 \u2018oats\u2019 [kappar- \u2018greens(?)\u2019 PAn. *\u1e31op-r-;? Jassic zabar \u2018avena\u2019 PIIr. *\u0107(\u0161)\u0101\u0306para-; ON hafri, OS ha\u0180oro, OHG habaro, haparo m. \u2018oats\u2019 < PGm. *hab(e/a)ran-\u0325 \u2018oats\u2019 :58; 193)\u1e31op-ro- meaning \u2018oats\u2019 has been reconstructed on the basis of Hittite, Germanic, Balto-Slavic and Iranian evidence [kappar- is unclear, which means that the proposed connection to PGm. *hab(a)ran- and Jassic zabar, both meaning \u2018oats\u2019, cannot be substantiated. Second, the Jassic form is only attested in a single word list and conspicuously close to Hung. zab \u2018oats\u2019, itself a borrowing from Sl. *zob\u044a [\u0107apara-, and a hypothetical Ossetic *s\u00e6v\u00e6r [\u0161ebar \u2018Alpine sedge \u2019 is related, we must instead reconstruct PIIr. *\u0107i\u0101\u0306par\u0101\u0306- [\u0107\u0161\u0101para- in view of Khot. \u1e63avara- \u2018a green plant\u2019, whose \u1e63 cannot reflect PIIr. *\u0107 [t\u1e31op-ero-. If the Asian East Iranian comparanda are accepted, however, they would at the same time demonstrate that the meaning \u2018(domesticated) oats\u2019 is not necessarily old.A protoform *evidence :133\u201343. l. *zob\u044a :159. It c *s\u00e6v\u00e6r :III, 306\u0101\u0306par\u0101\u0306- :301, or PIIr. *\u0107 :283. Nei\u2020*t\u1e31or-iano- :k\u0302\u00feoryanos has been proposed by Witczak [-ean cannot be equated with the Irish suffix -enn < PC *-inn\u0101 ~ *-ind\u0101 [A form * Witczak :99\u2013100. ~ *-ind\u0101 :199.?*gw(e)u-s-o- : Lat. b\u016bris, b\u016bra f. \u2018plow pole\u2019 \u226a? Sab. < PIt. *gweuso-; Gk. \u03b3\u03cd\u03b7\u03c2 m. \u2018curved piece of wood in a plow\u2019 < PGk. *guh\u0101-\u0259u-, g\u016b- :393\u20138): b\u016bris and b\u016bra are possible loans from Sabellic forms continuing PIt. *gweuso- [gwu-, Latin and Greek would attest to two different ablaut grades of an original neuter s-stem *gw\u00e9u-os, gen. *gu-s-\u00e9s \u2018curve\u2019 to the root *g(w)eu- \u2018curve\u2019. To further substantiate the Indo-European age of the s-stem, MP g\u014d\u0161ag \u2018corner, angle; detail\u2019 [gwou-s-o- [g\u014d\u0161\u0101 \u2018angle, corner; handle of a vessel; loop, noose\u2019 rather suggests an inner-Persian derivation from g\u014d\u0161 \u2018ear\u2019 . In conclusion, even if the s-stem existed in Proto-Indo-European, its agricultural meaning may have arisen late in the Mediterranean branches.Lat. *gweuso- :321. Ass detail\u2019 :186 has wou-s-o- :321. How*h2e\u1e31-on-eh2- : n-stem *h2e\u1e31-on-, cf. the formally close Gk. \u1f00\u03ba\u03cc\u03bd\u03b7 f. \u2018whetstone\u2019 as well as the potentially derived \u1f04\u03ba\u03b1\u03b9\u03bd\u03b1 f. \u2018spike, prick, goad\u2019 < *h2e\u1e31-n-ih2-. It appears that this formation went through a semantic shift from \u2018sharp object\u2019 to \u2018awn\u2019 in Germanic and Italic. The term additionally has a probable continuant in OPru. EV ackons \u2018awn\u2019, but the lack of palatalization of the velar is unexpected: if not due to depalatalization before n in one of the oblique cases [ahana.This is an Germano-Italic agricultural term. The formation resembles a neuter collective noun created to an ue cases :283, it *h2loh1-uo/eh2- [*al\u014du\u032f(-\u0101)-; OSw. l\u014d m. \u2018threshing floor\u2019 < PGm. *l\u014d(w)a--uo/eh2- :8: Gk. \u1f05h2elh1- or *h2leh1- as found in Gk. \u1f00\u03bb\u03ad\u03c9 \u2018grind, bruise, mill\u2019, Arm. a\u0142am \u2018grind\u2019 and Av. a\u0161a- ptc. \u2018ground\u2019 [h2l(e)h1-ur/n- continued by Gk. \u1f00\u03bb\u03ad\u03b1\u03c4\u03b1 \u2018wheat-groats\u2019, thematicized \u1f04\u03bb\u03b5\u03c5\u03c1\u03bf\u03bd, and possibly Arm. alewr, aliwr \u2018flour\u2019, if this is not a Greek loan [Two similar formations meaning \u2018threshing floor\u2019 are found in Germanic and Greek :78. It i\u2018ground\u2019 :277, whieek loan :90\u20135.\u1e2ball-anna-i \u2018trample down, flatten (fields and plants)\u2019. This verb apparently constitutes an imperfective formation in -anna/i- to the etymologically obscure root *\u1e2ball- < *h2(e)lH- or *h3(e)lH- [h2elh1- or *h2leh1- \u2018flatten\u2019 can be postulated, which in core Indo-European became associated with an activity related to the processing of cereals, possibly the technique of threshing cereals by having animals tramp them. It is more difficult to explain the emergence of the meaning \u2018grind\u2019 from the same semantic specialization, however.An additional cognate may be found in Hitt. h3(e)lH- :271. If *(H)lois-eh2- : OCeh2-stem derived from an obscure root *(H)leis- [l\u00fds\u0117 f. \u2018bed (garden)\u2019 (and by extension OPru. EV lyso \u2018bed (field)\u2019) seems likely, but the acute intonation is problematic in that it at face value points to *(H)liH-s-.This is an (H)leis- :209, pro?*kweh2t-i- \u0101ti-(?*kwet- :104):? Gi-stem *kweh2t-i-. This i-stem may be derived from a verbal root *kweh2t-, as found in Gk. \u03c0\u03ac\u03c3\u03c3\u03c9 \u2018strew, sprinkle\u2019 and Lat. quati\u014d \u2018shake\u2019 < *kwh2t-ie- [qu\u0101lus m. \u2018wicker (*winnowing?) basket\u2019, if from PIt. *kwh2t-slo- [*\u0101 ought to have been preserved. The reconstruction *kweh2t-i- is thus rendered uncertain [(s)ku\u032feh1t- [c\u00e1ith by starting from an isolated o-grade form *ku\u032foh1t-i-.The Celtic and Greek forms are suggestive of an wh2t-ie- :1155, anh2t-slo- :504. Howncertain :632. Theku\u032feh1t- :563 can \u2020*mel(H)-i- : Lati/n stem [m\u00e1lnos f.pl. \u2018floating sweetgrass (Glyceria fluitans)\u2019 is doubtful: Lith. m\u00e1lna must rather be a loan from Polish manna \u2018floating sweetgrass\u2019 [milium \u2018millet\u2019 is often derived from PIt. *meli-, with quasi-regular raising of e to i before *i in the following syllable [i-stem has been argued to be behind Gk. \u03bc\u03b5\u03bb\u03af\u03bd\u03b7. The reconstruction of a shared i-stem is uncertain, however, since Lat. milium is synchronically a io-stem and Gk. \u03bc\u03b5\u03bb\u03af\u03bd\u03b7 a substantivization of an adjective in -ino-.It is unclear if all the forms belong together due to the difference in vocalism and suffixation. They have been explained as a heteroclitic i/n stem :379, whichwaden) :167\u20138, wsyllable :81. The melh2- \u2018grind\u2019 [\u015by\u0101m\u0101\u0301ka- \u2018a type of millet\u2019 and Fr. millet/bl\u00e9 noir \u2018buckwheat\u2019 [milium and Gk. \u03bc\u03b5\u03bb\u03af\u03bd\u03b7 look like independent formations, meaning that no shared Indo-European protoform can be given.As to a root etymology for the Latin and Greek forms, the most popular suggestion is a connection with * \u2018grind\u2019 :I, 88. Ackwheat\u2019 :113. Regblan \u2018species of barley\u2019 < PIIr. *ml\u0101na- and ON melr m. \u2018sand ryegrass (Elymus arenarius)\u2019 [melr is short for the compound continued as Icel. mel-gresi, whose first element can be identified as ON melr m. \u2018sandbank\u2019 < PGm. *melha- [blan has alternatively been derived from an isolated Indo-Iranian root, cf. Skt. ml\u0101- \u2018to be limp, wither\u2019 [marH- \u2018to crush\u2019 [Other comparanda, such as Khow. narius)\u2019 :77, are *melha- :615. Kho wither\u2019 :599, pos?*ne(h1)i-uo- field\u2019 < *nj\u00ecvanei-u\u032fo- :8): Gk. ni \u2018low, below\u2019, through an adjective *nei-uo- \u2018low-lying\u2019, or from *neu-io- \u2018new ground\u2019. The Slavic form *njiva can regularly continue *nj\u016bva, which has been considered a contamination of the PSl. outcomes of *neu-h2 and a zero-grade form *nu-h2 [u-stem *n\u00e9(h1)i-u, gen. *n(h1)i-\u00e9u-s, pl. *n\u00e9(h1)i-u-h2, the many formal ambiguities cast doubt on the validity of the comparison.This old comparison involves several phonological problems. The Greek word may be derived from PIE *m *nu-h2 :303\u20134. W*neik- : Lineik- is reconstructed on the basis of Celtic, Greek and Baltic. Arm. nk\u2018oyr \u2018sieve\u2019 is also sometimes compared [oyr as a nominal suffix is hard to explain. It does seem possible to adduce PGm. *naik\u014d-, which through Pre-Proto-Germanic *naikk\u0101- can regularly continue *noik-n\u00e9h2- (with Kluge\u2019s law). Together, these formations secure a shared agricultural meaning \u2018winnow\u2019 for most of the European branches. Given the regular sound correspondences across the branches, there is no reason to doubt the inherited character of the word [paceA root *compared :III,477,neik- \u2018raise, stir up\u2019, cf. Hitt. nini(n)k-zi \u2018set in motion, raise, stir up\u2019, Gk. \u03bd\u03b5\u1fd6\u03ba\u03bf\u03c2 \u2018quarrel, strife\u2019, RuCS niknuti, SCr. n\u0209knuti \u2018appear, arise\u2019. Suitable semantic parallels are at hand, cf. Skt. \u00fad-bharati \u02bbraise\u02bc vs. Marathi ubhar\u1e47\u1ebd \u02bbwinnow\u2019 [ut-phalati \u02bbspring open, jump out\u02bc vs. Marathi uph\u0101\u1e37\u1e47\u1ebd \u02bbwinnow\u02bc < *ut-ph\u0101layati [On a deeper level, it seems likely that the root in question originated as a (core Indo-European?) semantic specialization of an Indo-Anatolian root *\u02bbwinnow\u2019 :75 and Sh\u0101layati :84.*pol\u1e31-eh2- :? OpolH-o- \u2018field\u2019 [A marginally attested formation found in at least Germanic and Celtic, although the latter is only indirectly recorded through Romance. The Slavic form has alternatively been derived from * \u2018field\u2019 :288.*pr\u1e31(-eh2)- : ONfere m. \u2018strip or plot of land; ridge between furrows\u2019 < *ferhan- [pr\u00f3-per\u0161a \u2018thawed patch in the ice, gap (in the clouds)\u2019, Skt. p\u00e1r\u015b\u0101na- m. \u2018chasm(?), valley(?)\u2019, which may ultimately derive from a verbal base \u2018dig, tear\u2019 [eh2-stem found in Italic and Celtic.A West European term for \u2018furrow\u2019. Within Germanic, it is in ablaut relation with Nw. dial. *ferhan- :244. Furg, tear\u2019 :475. Thi*se\u01f5h-e-tleh2- : se\u01f5h- \u2018hold firmly\u2019 [sa\u01f5h- while the Greek requires *se\u01f5h-. Pokorny offers a now-obsolete PIE reconstruction whereby a reduced vowel *se\u01f5h- was vocalized into *a in Celtic [s\u01f5h-e- that received a \u2018prop vowel\u2019 and independent vocalization with *e in Greek [se\u01f5h- to be original and proposes a Brittonic sound law PC *e > (*\u00e6 >) PBr. *a before *ge, *gi [Both the Greek and Brittonic words have been derived from (a thematic stem of) the root *, hold\u2019) :495. Then Celtic :889. Hamin Greek \u2013206. Sch*ge, *gi :134\u201341.ddel for PIE *-tleh2 is unexpected: the regular outcome of *-tleh2 is W -dl, cf. anadl \u2018breath\u2019 < *h2enh1-tleh2. This leads Pokorny and Hamp to reconstruct its allomorph *-dhleh2> *-\u03b8\u03bb\u03b7 that was dissimilated to -\u03c4\u03bb\u03b7 following a voiced aspirate in the stem. However, it is likely that both *-dhlo/eh2 and *-tlo/eh2 merged into *-\u00f0l in a Common Brittonic stage [tleh2.The W ending -ic stage :363. ThuAs a result, an exact Greco-Celtic isogloss for \u2018plow handle\u2019 may tentatively be reconstructed.*seh1-men- : Limn-stem derived from the root *seh1- \u2018sow\u2019. It has been argued that the meaning \u2018sow\u2019 developed from \u2018put in (the ground)\u2019, cf. Hitt. \u0161ai-i \u2018impress, prick\u2019 < *sh1-oi- [terminus post quem for the creation of this mn-stem. However, if Hitt \u0161\u0113li- \u2018granary\u2019 is to be compared to OIr. s\u00edl \u2018seed\u2019 through a protoform *seh1-li- [This is an *sh1-oi- :504, in seh1-li- :541, theseh1-li- :167, eve*solk-o- : Gkselk- \u2018draw\u2019, cf. ToB s\u00e4lk- \u2018pull, draw\u2019, Gk. \u1f15\u03bb\u03ba\u03c9 \u2018draw, drag\u2019 and probably also Arm. he\u0142g \u2018lazy, slow\u2019, exhibit a semantic shift to \u2018draw furrows, plow\u2019: 1) an o-stem shared between Latin and Greek, and 2) an isolated root noun in Germanic, viz. OE sulh f. \u2018furrow; plow\u2019 < PGm. *sulh-. The semantic shift appears complete in Germanic and Italic, whereas a more original range of meanings remains in Greek.Two formations in the European centum languages derived from the root **spor-eh2- : Gksper-, appears shared between Greek and Albanian [sper- was \u2018scatter\u2019, cf. Hitt. i\u0161p\u0101r-i \u2018spread (out), strew\u2019, which developed into \u2018sow\u2019 in some of the European branches, cf. Gk. \u03c3\u03c0\u03b5\u03af\u03c1\u03c9 \u2018scatter, spread; sow\u2019, whence also Gk. \u03c3\u03c0\u03ad\u03c1\u03bc\u03b1 \u2018seed, sowing\u2019 and \u03c3\u03c0\u03cc\u03c1\u03bf\u03c2 \u2018seed\u2019. In Celtic, the isolated Bret. (Pelletier) fer \u2018lentils\u2019 could theoretically continue another formation derived from the root *sper-, but because of the absence of cognates in British or Goidelic, this cannot be verified.This formation, clearly derived from the PIE root *Albanian :56. The *uogwh-(m)nis- ni(s)-; OPru. wagnis or wagins \u2018coulter\u2019 < PB *wagnV-; ON vangsni, OHG waganso, wagi(n)so m. \u2018plowshare\u2019 < PGm. *wagnisan-; Lat. v\u014dmer m. \u2018coulter, plowshare\u2019 < PIt. *wo\u03c7w-(s)mis-(?)ugschar\u2019 :1179\u201380)uegwh- [vag\u00e0 f. \u2018groove, furrow; patch of arable land\u2019 < *uogwh-eh2- and ON veggr, OE wecg, OHG wecki \u2018wedge\u2019, Lith. v\u00e3gis, Latv. vadzis \u2018peg; wedge\u2019 < *uogwh-io- [A well-known European word, possibly derived from a root *uegwh- :1179\u201380 ogwh-io- :1581\u20133.nis-, as this might be the common denominator for at least Greek and Germanic. In latter branch, at least ON vangsni looks like it could continue *wagnisan-. OHG waganso, on the other hand, was probably influenced by alansa f. \u2018awl\u2019 and segansa f. \u2018scythe\u2019, whose suffixes appear to have metathesized from *-es-neh2- [The original suffixation appears to have been *-es-neh2- :29.m of the suffix is unexpected and requires a phonetically conceivable but ad hoc assumption that it was rounded by the preceding labiovelar. Alternatively, it is possible to assume that all forms originally contained *-mn- and were reduced differently [wagense) [vannas and Est. dial. vadnas \u2018plowshare\u2019 (< *vatnas) would be most easily explained as a loan from Baltic [The interpretation of the Italic and Baltic forms is more difficult. In Italic, the ferently :491. Conwagense) :132\u20133. Wm Baltic .An early plowshare made of deer-antler has been found in phase B of the Gumelni\u0163a culture ; 213 datFrom the evaluation of the data presented here, which consists of cereal (cultivation and processing) terms with cognates in at least two independent Indo-European branches, several conclusions can be drawn.\u01f5hersdh- to *\u01f5hersd-. This is the least problematic category, however, as minor formal corrections are typically inconsequential to whether a term was inherited or not in the branches in which it occurs. In other cases, cognates had to be removed from the cognate set, leading to a more limited distribution in the Indo-European language family and potentially a more shallow time depth. Here we may mention removed cognates such as Hitt. \u0161\u0113\u0161a-, which cannot regularly be derived from *se-sh1-o-. It is particularly striking that in many cases, material from the Iranian languages has been liable to misinterpretation, probably due to their relatively late attestation and opaque evolution. Notable here is NP zurd \u2018millet\u2019 as a false continuant of *\u01f5hersd-. Where formal problems were insurmountable, comparisons had to be given up entirely, leading to a more radical reduction of the corpus of potentially inherited lexical items. Examples of such rejected comparisons are *keres- and *pano-, both assumed to have referred to millet. Strikingly, not a single word for millet can be reconstructed for Proto-Indo-European.First of all, strict application of the known sound laws has revealed that many of the previously proposed comparisons, including some listed by Mallory , are forWanderwort or of a term borrowed from a lost, non-Indo-European language (group). Accordingly, at least two terms have been reclassified from the inherited, potentially Indo-European category into a category of prehistoric loans from one or more unknown sources: *bhars- \u2018a cereal\u2019 and *au\u032fi\u011d- \u2018oats\u2019. Neither of these traditional reconstructions can be maintained for any level within the Indo-European pedigree.Special attention is required for terms showing resemblances that appear undeniable, but nevertheless exhibit irregular sound correspondences, and in addition have a localized or areal distribution, e.g. limited to (parts of) Europe. When the protoforms of the branches involved cannot be unified into a single reconstruction, the comparanda may indicative of prehistoric borrowing processes, i.e. reflect different manifestations either of an old d(e)rH-ueh2-, for instance, refers to a kind of grass in Indic and Celtic, and to wheat only in Middle Dutch. As a limited distribution of an agricultural meaning is most easily understood as resulting from an equally limited, post-Indo-European innovation, those meanings should not uncritically be projected back into the protolanguage. In many cases, it can be demonstrated that a meaning associated with the cultivation and processing of cereals does not date back to the oldest strata of the family, but developed at more shallow stages in a subset of the Indo-European branches. For instance, counter to previous views , flatten\u2019. It is further attractive to assume that the root *neik-, meaning \u2018winnow\u2019 in a large subset of the European branches, is etymologically identical to the root *neik- \u2018raise, stir\u2019, already found in Hittite. Even younger are the meanings that are of post-Tocharian date. Here we can mention the well-known example of *gwr(e)h2-uon-, meaning \u2018stone\u2019 in Tocharian, but \u2018grindstone\u2019 in the other branches in which it is attested. In addition, there is the s-stem *h2e\u1e31-os- meaning \u2018tip (of grass)\u2019 in Tocharian, and \u2018ear (of grain)\u2019 in Germanic and Italic only.Intriguingly, it is evident that many agricultural meanings that have habitually been reconstructed for Proto-Indo-European are effectively post-Anatolian. This has previously been demonstrated for the root *selk- \u2018draw\u2019, as continued by ToB s\u00e4lk- and Gk. \u1f15\u03bb\u03ba\u03c9, served as the basis for a root noun *slk- \u2018furrow; plow\u2019 in Germanic and an o-stem *solk-o- \u2018furrow\u2019 in Italic and Greek. The s-stem *h2e\u1e31-os- meaning \u2018tip (of grass)\u2019 in Tocharian, acquired the meaning \u2018ear (of grain)\u2019 in Germanic and Italic only. The related collective formation *h2e\u1e31-on-eh2- similarly acquired an agricultural meaning in the same branches. These semantic shifts, often absent or marginal in Greek, appear to cluster in the West European centum languages, and\u2014if not independent\u2014must have appeared late, in an already fragmenting, core Indo-European dialect continuum. A complete overview of the semantic intricacies of the various terms is given in It is, moreover, especially striking that several instances of semantic specialization are found exclusively in the European centum languages. The root *h2(e)lbh-it- \u2018barley\u2019 and *spor-eh2- \u2018seed\u2019, may be as recent as the last common ancestor, and should not be projected back into Proto-Indo-European, let alone Proto-Indo-Anatolian, at least not without the strongest of reservations. Furthermore, the demonstrable presence in our findings of formal and semantic archaisms in Anatolian and to a lesser extent in Tocharian unquestionably supports the modern consensus that these branches diverged from the other, core Indo-European branches relatively early. It appears that the split between basal and core Indo-European is more fundamental than the split between the European and Asian branches, at least in this subsection of the lexicon.Evidently, many of the formal and semantic issues tie back into the problem of the phylogeny of the Indo-European languages. In the starburst model, in which all core Indo-European branches are treated as equally distantly related, a term shared by as few as two branches must be admitted to the protolanguage, whereas a more structured model allows for more strata. Our findings underline that the latter is a priori more realistic than the starburst model. The creation of terms shared only by a limited subsection of Greek and Albanian, e.g. *In conclusion, while many cereal terms have been proposed in the literature, their number must be substantially reduced, especially for the most basal stage of Indo-European, Indo-Anatolian. The resulting picture is one that is far less problematic to the Steppe Hypothesis than has been previously suggested . The ove(H)ieu(H)- and perhaps *\u01f5h(e)rsd-. For the core Indo-European level, an even more extensive set of terms can be identified. In a model in which the split between the European and Asian branches is assumed to be primary, we must admit at least *h2erh3- \u2018plow\u2019, *h2erh3-ur/n- \u2018(arable) field\u2019, *peis- \u2018grind (grain)\u2019, *se-sh1-io- \u2018a cereal\u2019, *h2ed-o(s)- \u2018a (parched?) cereal\u2019, *dhoH-neh2- \u2018 seed\u2019 and *pelH-u- \u2018chaff\u2019. By applying the alternative, Indo-Slavic model, it is possible to relegate the latter two terms to the most recent subnode of the family, so as to deprive them of their core Indo-European status. However, even in this model, the remaining terms still stand. It is furthermore worth noting that at the second-most basal stage, prior to the Tocharian split, the root *h2erh3- had already undergone the semantic shift to \u2018plow\u2019, implying that this practice was known to the deepest layers of core Indo-European. In other words, unless cereal cultivation was a much more important aspect of the Yamnaya culture than recent archaeological interpretations suggest, this culture does not offer a perfect archaeolinguistic match for the original language community of the core Indo-European branches, including Tocharian. As a consequence, we may conclude that it is not possible to on the one hand support the Steppe Hypothesis (or the revised Anatolia Hypothesis for that matter) while at the same time assuming that steppe migrants had an exclusively pastoralist way of life, as has been proposed for the early Yamnaya culture [Nevertheless, our results also raise questions for the Steppe Hypothesis. For the oldest stratum, Indo-Anatolian, the lexical evidence for cereal use is relatively modest, but not zero: we must at least admit the cereal term * culture ; 215:17.We shall now return to the age-old question of to what extent Indo-Iranian participated in the general shift of the core Indo-European subgroups from a largely pastoralist economy to a more agricultural way of life. The question revolves around the two rival hypotheses by Hirt on the one hand and Schrader on the other: did Indo-Iranian lose many of the agricultural terms present in the European branches or did the European branches rather acquire them after the Indo-Iranian split?\u01f5rH-no- \u2018granule\u2019, plausibly derived from a root *\u01f5erH- \u2018scatter\u2019, with domesticated plant seeds is visible in Germanic, Ital(o-Celt)ic and Balto-Slavic, but if Pashto z\u0259\u0301\u1e47ai is to be relied on, (Indo-)Iranian may have preserved a more general meaning, i.e. a seed of any (domesticated or non-domesticated) plant. The root *peuH- retained its original meaning \u2018purify\u2019 in Germanic, Celtic and Italic. It might have developed into \u2018winnow\u2019 in Balto-Slavic, Greek and possibly Albanian, in view of the derivation *puH-ro- \u2018a kind of cereal\u2019, but Indo-Iranian takes up an intermediate position, in that it preserves the polysemy. Grinding is an activity that is not restricted to agricultural societies. Nevertheless, it is striking that the formation *gwr(e)h2-uon- has the generic meaning \u2018stone\u2019 in Tocharian, the more agricultural meaning \u2018quern\u2019 or \u2018millstone\u2019 in Germanic, Celtic, Armenian and Balto-Slavic, but the semantically intermediate \u2018(pressing) stone\u2019 in Sanskrit. A final showcase exemplifying the comparatively archaic semantics of Indo-Iranian is that of PIE *h2e\u01f5-ro-, whose original meaning \u2018plain (for driving cattle?)\u2019 was preserved in Indo-Iranian, while the European branches Germanic, Italic and Greek share a semantic shift to \u2018cultivated field\u2019 [As described above, multiple semantic innovations can be observed in the European languages. Many of these innovations appear late and dialectally limited, i.e. post-Tocharian at the earliest and pan-European at best. They demonstrate how the European Indo-European dialects, in the period when they had started diverging from each other, were in the process of repurposing the vocabulary they had inherited from basal and core Indo-European to reference an increasingly agricultural way of life. However, Indo-Iranian typically does not participate or only marginally participates in the semantic shifts that characterize the European branches. This is evinced by a number of very subtle archaisms in this branch. An association of *d field\u2019 :9. Althoh2erh3- is also attested with the meaning \u2018plow\u2019 in Tocharian, which is widely held to have split off second, Indo-Iranian probably once possessed this verb, something that also follows from the preservation of the formation *h2rh3-ur/n- \u2018(arable) field\u2019 in this branch. It thus appears that both Schrader and Hirt were partially right. On the one hand, Indo-Iranian participated in the initial core Indo-European shift from a pastoralist to an agro-pastoralist economy, of which some elements later were lost. On the other hand, Indo-Iranian was peripheral to the more recent and more radical shift towards a farming economy, as reflected in the vocabularies of the European branches , whose similarities to the Epi-Corded Ware of the Carpathian region suggest an East-Central European origin [In conclusion, unlike the archaeological Yamnaya homeland, the linguistic homeland of the core Indo-European language community cannot be located in the eastern steppe, but must be situated around, and extending to the west of, the Dnieper River. After the formation of the core Indo-European dialect continuum in this area after ca. 3300 BCE, it gradually developed into a network of increasingly evolved and disconnected varieties of Indo-European speech, thus foreshadowing the final fragmentation of the language and the movements of the various branches into Europe and Asia. Intriguingly, Indo-Iranian and especially Tocharian were impacted less heavily by the later, more radical shift towards agriculture that manifests itself in the European branches, indicating that they were culturally but also geographically more peripheral. However, since these branches share the Indo-European words for \u2018plow\u2019 and \u2018pound grain\u2019, they must, too, somehow have been involved in or at least connected to the establishment of the core Indo-European continuum in the West Pontic region. Scenarios in which the European branches moved west and the Asian branch stayed east of the Dnieper thereforn origin .A central question concerns the mechanism by which mobile pastoralism was adopted in the Lower Dnieper region during the westward expansion of the Yamnaya culture. Did incoming herders displace local groups, including their language, before the final expansion into Europe and Asia? Or did local groups adopt this lifestyle purely culturally, subsequently to become the source population that ultimately proliferated its genetic and linguistic features to much of Eurasia? From the linguistic perspective, it is worth noting that the Sredni Stog culture, with its limited evidence for agriculture, potentially offers a better archaeological fit for the basal, Indo-Anatolian language community than the eastern Yamnaya culture, which shows no traces of agriculture. This may support a scenario of linguistic continuity of local non-mobile herders in the Lower Dnieper region and their genetic persistence after their integration into the successive and expansive Yamnaya horizon.These archaeolinguistic considerations may furthermore help shed light on the genetic origins of the Yamnaya dispersal. The Corded Ware and Bell Beaker cultures, both promising vectors of Indo-European speech varieties, have high levels of steppe ancestry \u20138, but d"}
+{"text": "Correction: Eating and Weight Disorders - Studies on Anorexia, Bulimia and Obesity (2022) 27:1603\u20131619 10.1007/s40519-021-01287-1In this article, Figure\u00a01 contains an error. The correct rule-in cut-off of NAFLD Fibrosis Score indicating patients at intermediate-high risk of advanced fibrosis should read\u2009\u2265\u2009\u2009\u2212\u20091.455. The correct figure is reported below. The authors apologise for the mistake."}
+{"text": "Correction to: BMC Public Health 22, 1635 (2022)https://doi.org/10.1186/s12889-022-14034-7In the author contribution section \u201cCS\u201d should be \u201cCK\u201dTwo sentences (in Methods & Results) were unintentionally anonymizedThe significance bar was missing in figure 1The original publication of this The article has been updated to amend these errors."}
+{"text": "Scientific Reports 10.1038/s41598-022-20327-z, published online 10 October 2022Correction to: The original version of this Article contained errors in Table 3, where the values for \u201cMode of step-time variability\u201d and \u201c8-step HR (arm-swing)\u201d under \u201cGait Quality\u201d were incorrect. The correct and incorrect values appear below.Incorrect:Correct:The original Article has been corrected."}
+{"text": "Correction: BMC Ophthalmol 22, 459 (2022)https://doi.org/10.1186/s12886-022-02650-1Following publication of the original article , the\u00a0autThe incorrect author name is: Juan Queiruga-Pi\u00f1eroThe correct author name is: Juan Queiruga-Pi\u00f1eiroThe author group has been updated above and the original article has been"}
+{"text": "Burden of Severe Illness Associated With Laboratory-Confirmed Influenza in Adults Aged 50\u201364 Years, 2010\u20132011 to 2016\u20132017. Open Forum Infectious Diseases, Volume 10 Issue 1, January 2023."}
+{"text": "Scientific Reports 10.1038/s41598-022-15957-2, published online 07 July 2022Correction to: The original version of this Article contained an error in TGF-\u03b2 units in Figure\u00a04 (d)-(g) labels, where\u201c\u03bcg/ml\u201dnow reads:\u201cng/ml\u201dThe original Figure\u00a0Additionally, the same error occurred in Supplementary Information Figure\u00a02.Lastly, the article omitted to mention that BMDMs were cultured under serum-free media. Consequently, in Materials and methods, under the subheading \u2018Preparation of cells\u2019,now reads:\"For RNA analysis, cells were cultured under serum-free media \u00a0during stimulation.\u201dThe original Article and Supplementary Information file have been corrected."}
+{"text": "By implementing a meta-analysis based onWe conducted this updated meta-analysis in accordance with the statement of Preferred Reporting Items for Systematic Reviews and Meta-Analyses (PRISMA) .2, micro- or macro-albuminuria, renal failure, dialysis, renal transplantation, or renal death; and MACE was defined as a composite of CVDH, MI, or stroke. We searched PubMed, Embase, and Web of science from inception date to May 2022. The whole search expression is (using PubMed as an example): AND [Sodium-Glucose Transporter 2 Inhibitors (MH) OR \u201cSodium glucose transporter 2 inhibitor*\u201d (TIAB) OR \u201cSodium glucose cotransporter 2 inhibitor*\u201d (TIAB) OR \u201cSodium glucose co-transporter 2 inhibitor*\u201d (TIAB) OR SGLT*(TIAB) OR Gliflozin*(tiab) OR \u201cEmpagliflozin\u201d (tiab) OR \u201cDapagliflozin\u201d (tiab) OR \u201cCanagliflozin\u201d (tiab) OR \u201certugliflozin\u201d (tiab) OR \u201csotagliflozin\u201d (tiab)] AND [\u201cglucagon-like peptide 1 receptor agonist*\u201d (TIAB) OR \u201cGLP1*\u201d (TIAB) OR lixisenatide (TIAB) OR liraglutide (TIAB) OR semaglutide (TIAB) OR exenatide (TIAB) OR albiglutide (TIAB) OR dulaglutide (TIAB) OR Efpeglenatide (TIAB)] AND [\u201ccardiovascular\u201d (tiab) OR \u201ccardiac\u201d (tiab) OR \u201cheart failure\u201d (tiab) OR \u201cmyocardial infarction\u201d (TIAB) OR stroke (tiab) OR \u201cMACE\u201d (tiab) OR \u201cKidney\u201d (tiab) OR \u201crenal\u201d (tiab) OR \u201cCKD\u201d (tiab) OR \u201cESRD\u201d (tiab) OR \u201cESKD\u201d (tiab) OR \u201ccardiorenal\u201d (tiab) OR \u201cdeath\u201d (tiab) OR \u201cmortality\u201d (tiab)] AND [\u201ccohort study\u201d (tiab) OR \u201cobservational study\u201d (tiab) OR \u201creal world\u201d (tiab) OR \u201creal-world\u201d (tiab)].The studies eligible for inclusion were cohort studies directly comparing SGLT2is and GLP1RAs in cardio-renal endpoints in T2D patients. Seven endpoints of interest are the same as those in Qius et al. .The outcome data were extracted from included studies independently by two authors, and any discrepancies between them were solved by discussing with a third author. Just like Qiu et al. , we perfP for effect size = 0.04; P for effect size <0.01; P for effect size = 0.04; P for effect size = 0.82; P for effect size = 0.16; P for effect size = 0.11; P for effect size = 0.06; In this updated meta-analysis, we included a total of eighteen large cohort studies \u201319. We iThis updated meta-analysis revealed that SGLT2is vs. GLP1RAs were associated with significantly decreased risks of HHF and CKO and significantly increased risk of stroke in T2D patients, whereas these two drug classes had similar risks of MACE, MI, CVDH, and ACM. Substantially different with these findings, the main findings in the previous meta-analysis , General Programe for Fundamental Research (Grant No. JCYJ20210324142404012).The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest.All claims expressed in this article are solely those of the authors and do not necessarily represent those of their affiliated organizations, or those of the publisher, the editors and the reviewers. Any product that may be evaluated in this article, or claim that may be made by its manufacturer, is not guaranteed or endorsed by the publisher."}
+{"text": "Apium graveolens L. Seeds via GC-TOF-MS and UHPLC-MS/MS\u201d [In the article titled \u201cAntiliver Fibrosis Screening of Active Ingredients from C-MS/MS\u201d , concernC-MS/MS\u201d . Specifi"}
+{"text": "Analytical Cellular Pathology would like to express concern with the article titled \u201cThe Long Noncoding RNA LOXL1-AS1 Promotes the Proliferation, Migration, and Invasion in Hepatocellular Carcinoma\u201d ["}
+{"text": "Scientific Reportshttps://doi.org/10.1038/s41598-023-27951-3, published online 17 January 2023Correction to: The original version of this Article contained a spelling error in the name of the author Nina Re\u0161\u010di\u010d, which was incorrectly given as Nina re\u0161\u010di\u010d.The original Article has been corrected."}
+{"text": "Correction: BMC Medical Imaging (2022) 22:187 10.1186/s12880-022-00918-yFollowing the publication of the original article , it was The incorrect word \u201cscrenned\u201d was inadvertently inserted under \u201c1598 duplicates removed\u201d in Fig.\u00a0The incorrect word has now been deleted and the correct Fig.\u00a0The original article has been updated."}
+{"text": "In the article titled \u201cA Collaborative Brain-Computer Interface Framework for Enhancing Group Detection Performance of Dynamic Visual Targets\u201d , Figure The corrected figure legend for Figure 8 has been given as follows where the adaptation is acknowledged.https://creativecommons.org/licenses/by/4.0/)).\u201d\u201cSummary of different BCI frameworks: (a) sBCI framework; (b) SC-cBCI framework; (c) MC-cBCI framework; (d) MLDANet-cBCI framework (adapted from [33] under a CC-BY 4 license ("}
+{"text": "The correct name is: Asl\u0131 Elif Tanu\u011fur-Samanc\u0131. The correct citation is: Tanu\u011fur-Samanc\u0131 AE, Keke\u00e7o\u011flu M (2021) An evaluation of the chemical content and microbiological contamination of Anatolian bee venom. PLOS ONE 16(7): e0255161. The publisher apologizes for the error."}
+{"text": "Evidence-Based Complementary and Alternative Medicine has retracted the article titled \u201cEffects of Tenofovir Combined with Recombinant Human Interferon \u03b1-2b on Negative Conversion Rate, Liver Function, Immune Status, and Drug Safety in Patients with Chronic Hepatitis B: A Systematic Review and Meta-Analysis\u201d [nalysis\u201d due to cFollowing an investigation conducted by the Hindawi Research Integrity team , signifi"}
+{"text": "Nature Reviews Clinical Oncology 10.1038/s41571-020-00447-z, published online 8 December 2020.Correction to: In the original version of this Evidence-Based Guidelines, Fig. 3 contained errors regarding unfavourable factors for IDH-wild-type glioblastomas, WHO grade 4. The box label originally mentioning \u201cKPS <70 years\u201d has been corrected to \u201cage <70 years; KPS <70 years\u201d. In addition, greater clarity has been provided by changing \u201cage >70 years\u201d in other boxes to \u201cage \u226570 years\u201d. Fig. 3 has been corrected in the HTML and PDF versions of the article."}
+{"text": "Correction to: Journal of Assisted Reproduction and Geneticshttps://doi.org/10.1007/s10815-022-02547-4The \u201cFunding\u201d information section was missing from this article and should have read \u201cThis work was supported by the 2018 FORWARD grant (FORWARD2018_3) from GEDEON RICHTER.\u201dThe original article has been corrected."}
+{"text": "Correction to: Langenbeck's Archives of Surgery.https://doi.org/10.1007/s00423-022-02486-9The original version of this article unfortunately contained a small mistake in the body text which is \u201c4416 44,160\u201d.The corrected number should be: \u201c44160\u201d.The original article has been corrected."}
+{"text": "Scientific Reports 10.1038/s41598-022-10057-7, published online 09 April 2022Correction to: The original version of this Article contained a repeated error in\u00a0the Title, in the Results section under the subheading \u2018Antigenic reactivity of synthetic peptides with COMIRNATY vaccine recipient sera\u2019 and in the Methods section under the subheading \u2018Serum samples from COMIRNATY vaccine recipients\u2019 where\u201cCOMINARTY\u201dnow reads:\u201cCOMIRNATY\u201dThe original Article has been corrected."}
+{"text": "Biosensors such as toll-like receptors (TLR) induce the expression of interferons (IFNs) after viral infection that are critical to the first step in cell-intrinsic host defense mechanisms. Their differential influence on epithelial integrity genes, however, remains elusive. A genome-wide gene expression biosensor chip for gene expression sensing was used to examine the effects of type-I, -II, and -III IFN stimulation on the epithelial expression profiles of primary organotypic 3D air-liquid interface airway cultures. All types of IFNs induced similar interferon-stimulated genes (ISGs): OAS1, OAS2, and IFIT2. However, they differentially induced transcription factors, epithelial modulators, and pro-inflammatory genes. Type-I IFN-induced genes were associated with cell\u2013cell adhesion and tight junctions, while type-III IFNs promoted genes important for transepithelial transport. In contrast, type-II IFN stimulated proliferation-triggering genes associated and enhanced pro-inflammatory mediator secretion. In conclusion, with our microarray system, we provide evidence that the three IFN types exceed their antiviral ISG-response by inducing distinct remodeling processes, thereby likely strengthening the epithelial airway barrier by enhancing cross-cell-integrity (I), transepithelial transport (III) and finally reconstruction through proliferation (II). Important immune factors of the first line of cell-intrinsic host defense are the interferons (IFNs), which comprise type-I IFN , type-II IFN (IFN\u03b3), and type-III IFN . Biosensors such as toll-like receptors (TLRs) belong to the pathogen-recognition receptor family. TLRs sense so called pathogen-associated molecular patterns (PAMP) including viral nucleic acids and RNA and lead to IFN expression [+ T helper type-1 and by CD8+ cytotoxic T lymphocytes in an antigen-dependent [Type-I IFNs are expressed across different cell types like plasmacytoid dendritic cells and mononuclear phagocytes, whereas dendritic cells are the major source for IFN\u03bbs ,6. Due tependent and -independent , therebyEach part of the respiratory tract shows a diverse and specific epithelial subtype that fulfills a different function; however, the impact of IFNs on these specializations is largely unclear. The lower airways mainly contain ciliated cells, which transport the mucus produced by goblet cells out of the airways, and columnar cells, which are important for the barrier function Figure . PreviouAdditionally, the composition of the inflammatory environment determines the differentiation of the epithelium. Type-I and type-II immune responses can lead to type-I-primed (E1) or type-II-primed (E2) polarization of the airway epithelium, thereby enhancing, for example, asthmatic remodeling processes . The sevUsing a genome-wide gene expression biosensor chip sensing the gene expression in organotypic 3D air-liquid interface cultures, we were able to investigate the influence of IFNs on the airway epithelial barrier. We investigate the similarities of the IFNs in relation to expressed ISGs in this airway epithelial model. In this study, we also highlight the differentially induced transcription factors, epithelial mediators and inflammatory genes unique to each IFN family member and highlight the importance of IFN release for epithelial integrity. Type-I and type-III IFNs stimulation positively correlate with the expression of cell\u2013cell adhesion, tight junctions and intercellular signaling, whereas IFN\u03b3 promotes a pro-inflammatory environment and cell proliferation.n = 6) were grown in PneumaCult-Ex Plus expansion medium (Stemcell) on Corning transwell polyester membrane cell culture inserts according to the manufacturer\u2019s instruction. Medium was applied to the basal and apical chamber until cells were grown 100% confluence. An airlift was performed by removing the apical medium and the basal medium was exchanged to Pneumacult-ALI maintenance medium (Stemcell). When the transepithelial electrical resistance (TEER), measured using EVOM2 instrument (World Precision Instruments), reached the threshold of 700 \u03a9, cells each donor were stimulated with IFN\u03b1 , IFN\u03b2 , IFN\u03b3 , IFN\u03bb1 , IFN\u03bb3 or medium as control for 24 h. Each negative control was genetically matched. TEER measurement was used to identify epithelial integrity prior stimulation and samples showing a TEER >700 \u03a9 were classified as integer. Cells were harvested and RNA was extracted using AllPrep DNA/RNA Micro Kit . BioRender.com (accessed on 26 August 2022).Low\u2013passage primary human bronchial epithelial cells from six genet-ically independent donors terms \u201c0008009\u201d, \u201c0005125\u201d, \u201c0005615\u201d and \u201c0007267\u201d were used for segregation of secreted genes, \u201c0070254\u201d, \u201c0097072\u201d, \u201c0001730\u201d, \u201c0035394\u201d and the gene symbols IFITM and IFIT for interferon stimulated genes, \u201c0009615\u201d, \u201c0039528\u201d, \u201c0039530\u201d, \u201c0039639\u201d, \u201c0051607\u201d and \u201c0009597\u201d for antiviral pathways. For identification of transcription factors GO terms \u201c0003676\u201d, \u201c0044212\u201d, \u201c0000976\u201d, \u201c0070491\u201d and the gene name forkhead was applied, GO terms for identification for pro- and anti-inflammatory genes \u201c0033209\u201d, \u201c0032640\u201d, \u201c0034612\u201d, \u201c0006954\u201d, \u201c0050727\u201d, \u201c0002526\u201d, \u201c0032611\u201d, \u201c0070555\u201d, \u201c2000661\u201d, \u201c0032635\u201d, \u201c0004915\u201d, \u201c0070741\u201d, \u201c0070103\u201d and \u201c0036363\u201d, \u201c0071604\u201d, \u201c0004920\u201d, \u201c0032613\u201d, \u201c0050728\u201d, \u201c0140105\u201d, \u201c0032733\u201d was used, GO terms \u201c0060429\u201d, \u201c0060428\u201d, \u201c0030054\u201d, \u201c0016049\u201d, \u201c0098609\u201d, \u201c0090136\u201d, \u201c0034103\u201d, \u201c0070160\u201d, \u201c0030057\u201d, \u201c0070160\u201d, \u201c0120193\u201d, \u201c0005923\u201d, \u201c0005915\u201d and \u201c0005921\u201d were applied to identify epithelial factors. A 1.5-fold change above the \u201cNormalized intensity values\u201d in relation to the medium control were classified as high (red) abundance.Cyanine-3 (Cy3) labeled cRNA was prepared from 25 ng RNA using the One-Color Agilent Low Input Quick Amp Labeling Kit (Agilent Technologies) accord-ing to the manufacturer\u2019s protocol, followed by RNAeasy column purification (QIAGEN) . Dye incstring-db.org (accessed on 12 September 2022), [In order to extract enriched cellular processes and pathways associated with epithelial mediators and inflr 2022), ,24). Ther 2022), . The STRp < 0.05). IFN\u03b1 had the strongest and IFN\u03b2 stimulation the least influence on the differential gene expression (IFN-stimulated organotypic 3D air\u2013liquid interface (ALI) cultures were used to identify IFN-induced specific differentially expressed genes (DEGs). The IFNs were titrated prior to transcriptome analysis for biological activity based on a comparable expression (data not shown). All IFNs induced the upregulation of DEGs rather than their suppression . Type-I and type-II IFNs showed matching effects only in upregulating CBLL1, while type-I and type-III IFNs similarly induced PECAM1 A. FurtheTo identify enriched cellular gene networks induced by type-I, -II, and \u2013III IFNs, we performed a network analysis using the \u201cSTRING\u201d database , In partIn summary, all IFNs induced different gene expression patterns in the airway epithelium and enhanced several important factors related to inflammatory pathways and epithelial remodeling. Factors associated with beneficial effects on epithelial barrier integrity by enhancing cell\u2013cell adhesion, tight junctions and intercellular signaling were induced by type-I and -III IFNs, while type-II IFN stimulation resulted in cell growth and a pro-inflammatory environment.Although the mechanisms of the biosensors upstream of the interferon induction and the role of interferons in antiviral signaling pathways are well understood, their effect on airway epithelial processes is widely unknown. In this study, we provide evidence for the unique effect of each member of the IFN family on epithelial homeostasis, remodeling, and the inflammatory response of the human airway using genome-wide gene expression analysis of IFN-stimulated primary organotypic air-liquid interface cultures. In these cultures, all IFNs induced ISGs, as expected, but notably, the number of ISGs induced between individual IFN family members widely overlapped. The induced ISGs interfere with the viral entry (IFITM), viral mRNA synthesis (APOBECs), protein synthesis (IFIT1) and viral replication , In thisIL18R1, whose expression was associated with asthma severity in human bronchial epithelial biopsy and in bronchial alveolar lavage [GATA4, which has been shown to play a role in early development of the lung mesenchyme [ICAM2, PECAM1, JAM2, TJP2). Previous studies have shown that IFN-enhanced epithelial resistance to influenza infection [CLDN9, CLDN25, JAML, PATJ). In addition, various studies have highlighted that JAM2 and PECAM1 are downregulated by the SARS-CoV-2 virus, which resulted in disruption of the alveolar\u2013capillary barrier [In particular, type-I IFN stimulation, specifically IFN\u03b1, induced the upregulation of the pro-inflammatory gene r lavage . In addir lavage . It is isenchyme . In addinfection , establinfection , and supnfection . Patientnfection . Our stu barrier . This stIL10 in differentiated airway epithelium. Previous studies have shown that IL-10 activation in dendritic cells and macrophages is dependent on type-I IFN signaling [FoxP2 and ZBTB20. Previous studies showed that processes during lung development and cell cycle progression regulated by Cyclin D1, Cyclin E and P21 are associated with FoxP2 and ZBTB20 [GABRR1, GABRA2, GLRA3, SYT9, GABRG3 and CTNNA1-3), that may differentially regulate both intracellular signaling processes and transepithelial and cross-epithelial ion transport along the barrier [TNFRSF1B [Despite the postulated similar mode of action of type-I and -III IFNs in antiviral host defense mechanisms, type-III IFNs stimulated a unique epithelial gene expression and resulted in a secondary process: the induction of anti-inflammatory gene expression and intercellular signaling. IFN\u03bb3 induced anti-inflammatory factors such as ignaling . It is id ZBTB20 . In addi barrier . In addiTNFRSF1B . These dCXCL9, CXCL11, GBP5, CD38, JAK2 and APOL3. This finding is in line with previously published mechanisms of type-I and type-II interferons shown for acute influenza A virus infection [Our data showed that IFN\u03b1 and IFN\u03b3 in particular shared the overlapping induction of pro-inflammatory genes such as nfection , where tnfection and is anfection .IL1B, CCL7, KDR and ARHGEF5 indicative of a pro-inflammatory environment and cell proliferation. IL-1\u03b2, activated by the inflammasome, may dysregulate the epithelial barrier function in neutrophilic asthma and lead to increased mucin production and neutrophilic infiltration [VEGFA), have been associated with shorter survival times in lung cancer patients due to their effects on cell proliferation [ARHGEF5, which leads to cell invasion and tumor growth via Akt pathway [It is important to note that our data also provide evidence for a unique expression pattern in type-II IFN-stimulated cultures that result in a third epithelial process. IFN\u03b3 alone differentially induced genes such as ltration . High leferation , as has pathway . TherefoOur data suggest that type-I IFNs improve cross-cell integrity by enhancing cell\u2013cell and gap junctions, thereby directly counteracting viral infection-induced airway barrier leakage. Type-III IFNs strengthen the epithelial barrier by enhancing transepithelial transport. Type-II IFNs, on the other hand, promote a pro-inflammatory microenvironment and stimulate epithelial cell proliferation, likely contributing to restoration of the airway barrier integrity after viral infection.This study not only demonstrates the relevance of genome-wide gene expression analysis using differentiated organotypic 3D air-liquid interface cultures but also showed that the different members of the IFN family have unique effects on airway epithelial barrier integrity in addition to their direct antiviral ISG-mediated functions. Future personalized inhalant therapies may profit from this study and target IFN-type-specific disfunction of epithelial integrity and support specific intrinsic anti-viral immunity. In particular, immunocompromised and elderly patients may profit from this personalized therapeutic strategy. Future studies need to examine long-term effects of these important antiviral mediators on the airway epithelium also post-infection, since an altered restoration process of the airway epithelium could contribute to adverse events as observed in patients with long COVID."}
+{"text": "Correction: J Exp Clin Cancer Res41, 284 (2022) https://doi.org/10.1186/s13046-022-02493-0Following publication of the original article , an erroFigure\u00a06E: The flow cytometry image of group HT29 sh2\u2009+\u2009erastinFigure\u00a06F: The group label \u201csh3\u201d should be corrected into \u201csh2\u201dThe correct figure is now been provided. The correction does not have any effect on the results or conclusions of the paper. The original article has been corrected."}
+{"text": "Correction to: Neurological Sciences (2022) 43:979\u2013984https://doi.org/10.1007/s10072-021-05392-yThe original article contains an error. The affiliation 5 \u201cMilan Center for Neuroscience (NeuroMI), Milan, Italy\u201d should be remove from the author Nadia Bolognini\u2019s address."}
+{"text": "European Heart Journal - Cardiovascular Imaging, jeab266, https://doi.org/10.1093/ehjci/jeab266In the originally published version of this manuscript, there was an error in the third author\u2019s name. The third author\u2019s name should read \u201cDorina-Gabriela Condurache\u201d instead of \u201cDorina Condurache\u201d. This error has been corrected."}
+{"text": "Scientific Reports 10.1038/s41598-021-03681-2, published online 07 January 2022Correction to: The original version of this Article contained errors in Table 1, where the data stated for \u2018Fiber internal diameter\u2019, \u2018Internal volume dialyzer fibers\u2019, \u2018Total internal volume dialyzer\u2019 and \u2018Effective membrane exchange area\u2019 was incorrect.The original Table The original Article has been corrected."}
+{"text": "Scientific Reports 10.1038/s41598-021-90848-6, published online 31 May 2021Correction to: The original version of this Article contained an error in Figure\u00a03, where the red line representing solvent-based (sb)-paclitaxel was incorrectly captioned as \u201cnanoparticle albumin-bound (nab)-paclitaxel\u201d, and the blue line representing nanoparticle albumin-bound (nab)-paclitaxel was incorrectly captioned as \u201csolvent-based (sb)-paclitaxel\u201d.The original Figure\u00a0The original Article has been corrected."}
+{"text": "Scientific Reports 10.1038/s41598-022-16761-8, published online 21 July 2022Correction to: In the original version of this article Katarzyna G\u0119ca and Magdalena Sk\u00f3rzewska were omitted as equally contributing authors.The original Article has been corrected."}
+{"text": "Correction: BMC Palliat Care 21, 188 (2022)https://doi.org/10.1186/s12904-022-01089-xFollowing publication of the original article , the autThe data \u201c\u2026 to ensure a total of 98 evaluable pairs of care giving parents, \u2026\u201d should read\u201c \u201c\u2026 to ensure a total of 88 evaluable pairs of care giving parents, \u2026\u201d\u201cThe original article has been updated."}
+{"text": "Correction: BMC Infectious Diseases (2021) 21:730 10.1186/s12879-021-06399-8The sentence currently reads:\u201cOn average 45,225 RSV-associated hospitalizations\u2026\u201dThe sentence should read:\u201cOn average 50,878 RSV-associated hospitalizations\u2026\u201dFollowing publication of the original article , the autThe original article has been"}
+{"text": "Erratum zu:Bundesgesundheitsbl 202210.1007/s00103-022-03583-2In der urspr\u00fcnglichen Originalversion des Artikels wurden die Legenden zu den inkludierten Fu\u00dfnoten in der Abbildung Abb.\u00a0 nicht in"}
+{"text": "Correction to: Journal of Clinical Immunology10.1007/s10875-022-01298-2The article note is incorrect. It should have been stated as \u201cAlfonso Jos\u00e9 Tapiz i Reula, Alexis-Virgil Cochino, Andreia L. Martins and Diego Angosto-Bazarra contributed equally to this work.\u201dThe original version has been corrected."}
+{"text": "Scientific Reports 10.1038/s41598-022-15135-4, published online 30 June 2022.Correction to: The original version of this Article contained errors.In the Materials and methods section, under the subheading \u2018Sensor electrodes\u2019,\u201cAll experiments used the Palmsens screen-printed electrodes .\u201dnow reads:\u201cAll experiments used BVT screen printed electrodes .\u201dAs a result, the legend of Figure\u00a01 was incorrect.\u201cPalmsens screen printed electrodes.\u201dnow reads:\u201cBVT screen printed electrodes.\u201dThe original Article has been corrected."}
+{"text": "Scientific Reports 10.1038/s41598-022-09674-z, Published online 06 April 2022Correction to: The original version of this Article contained a typographical error in Table 2, where the unit of the computation time for the \u201cCollection volume without ground\u201d was incorrect.\u201cminh)\u201dnow reads:\u201c(min)\u201dThe original article has been corrected."}
+{"text": "Nature Communications 10.1038/s41467-022-33476-6, published online 02 October 2022Correction to: The original version of this Article contained an error in the Acknowledgments, which incorrectly read \u2018SNSF grant SMALL (20CH21_18699)\u2019. The correct version states \u2018SNSF grant SMALL (20CH21_186999)\u2019 in place of \u2018SNSF grant SMALL (20CH21_18699)\u2019. This has been corrected in both the PDF and HTML."}
+{"text": "Latino-Am. Enfermagem. 2021;29:e3436, page 3:Regarding the article \u201cPsychometric properties of the adapted instrument European Health Literacy Survey Questionnaire short-short form\u201d, with DOI number: Where was written:.\u201d\u201cAccording to the authors of the instrument, the final score values classify individuals according to three levels of HL: inadequate (\u22642); problematic (>2 and \u22643); and sufficient (>3)Now read:.\u201d\u201cAccording to the authors of the instrument, the final score values classify individuals according to three levels of HL: inadequate (\u22642); problematic (>2 and <3); and sufficient (\u22653)10.1590/1518-8345.5181.3494, published in the Rev. Latino-Am. Enfermagem. 2021;29:e3494, page 1:Regarding the article \u201cUse of the prone position in pregnant women with COVID-19 or other health conditions\u201d, with DOI number: Where was written:\u201cOriginal Article\u201dNow read:\u201cReview Article\u201d10.1590/1518-8345.5768.3518, published in the Rev. Latino-Am. Enfermagem. 2022;30:e3518, page 1:Regarding the article \u201cPsychopathological symptoms and work status of Southeastern Brazilian nursing in the context of COVID-19\u201d, with DOI number: Where was written:7 https://orcid.org/0000-0001-5180-1594\u201d\u201cDarcio Tadeu MendesNow read:7https://orcid.org/0000-0001-6059-9308\u201d\u201cDarcio Tadeu Mendes"}
+{"text": "In 4 places where it previously read \u201cdistance category\u201d it now correctly reads \u201cdiagnosis category.\u201d This article was corrected online.In the article titled \u201cReceipt of Out-of-State Telemedicine Visits Among Medicare Beneficiaries During the COVID-19 Pandemic\u201d"}
+{"text": "Morenas-Rodr\u00edguez E, Li Y, Nuscher B, et al. Soluble TREM2 in CSF and its association with other biomarkers and cognition in autosomal-dominant Alzheimer's disease: a longitudinal observational study. Lancet Neurol 21: 329\u2013412022; \u2014In this Article, the Copyright should read \u201c\u00a9 2022 The Author(s). Published by Elsevier Ltd. This is an Open Access article under the CC BY-NC-ND 4.0 license\u201d. In Figure 5, the y-axis of panel 5E should be \u201cRate of cognitive change (z-score per year)\u201d and the x-axis under panel 5F should be \u201cEstimated years to symptom onset\u201d. These corrections have been made to the online version as of April 13, 2022."}
+{"text": "Correction: BMC Cancer 22, 714 (2022)https://doi.org/10.1186/s12885-022-09722-xFollowing publication of the original article , the autThe description in the results of abstract section in this article currently reads \u201c\u2026 while the DDR_high/TM_low samples were enriched in Th17 cell diferentiation, ...\u201d. This is incorrect and should read as follows \u201c\u2026 while the DDR_high/TM_high samples were enriched in Th17 cell diferentiation, ....\u201d."}
+{"text": "Figure 5B: overlapping features can be seen within and between the \u201cONFH\u201d, \u201cagomir-NC\u201d, \u201cagomir-miR-410\u201d and \u201cWnt-11-siRNA\u201d panels.Figure 5G: blots can be seen to have highly uniform contrast against a uniform grey background.Figure 6C: overlapping features can be seen within and between the \u201cagomir-NC\u201d, \u201csiRNA-NC\u201d, \u201cWnt-11-siRNA\u201d, \u201cagomir-miR-410+OE-NC\u201d and \u201cagomir-miR-410+OE-Wnt-11\u201d panels.Figure 7D: blots can be seen to have uniform contrast against a uniform grey background.Figure 8E: blots can be seen to have uniform contrast against a uniform grey background.Figure 8F: overlapping features can be seen within and between the \u201cNormal\u201d, \u201cONFH\u201d, \u201cagomir-NC\u201d, \u201cagomir-miR-410\u201d, \u201csiRNA-NC\u201d, and \u201cagomir-miR-410+OE-NC\u201d panels.The Editors-in-Chief have retracted this article. Concerns have been raised regarding a number of figures, specifically:The Editors-in-Chief therefore no longer have confidence in the reliability of the data reported in the article. The authors have not responded to any correspondence from the editor/publisher about this retraction."}
+{"text": "Erratum to:Herzschr Elektrophys 202210.1007/s00399-022-00887-3Please note that the correct English title should read \u201cAtypical atrial flutter: Diagnostics and therapy\u201d. The original article has been corrected."}
+{"text": "Nature Communications 10.1038/s41467-022-31521-y, published online 02 July 2022Correction to: The original version of this Article contained an error in the figure legend of Figure 2L where \u201cTPA-TQT\u201d was mistakenly written as \u201cTPA-BBT\u201d. This has been corrected in both the PDF and HTML versions of the Article."}
+{"text": "Accessed August 31, 2020.\u201dIn the report \u201cTrends in County-Level COVID-19 Incidence in Counties With and Without a Mask Mandate \u2014 Kansas, June 1\u2013August 23, 2020,\u201d on p. 1777, the sixth footnote should have read \u201c"}
+{"text": "Nuclei were counterstained with DAPI (blue). Scale bar = 20\u2009\u03bcm. (b) Three-dimensional reconstruction of microglia surrounding A\u03b2 plaque in the six-month-old female hippocampus. Scale bar = 20\u2009\u03bcm.Figure 8: MUTYH deficiency suppressed the morphological alteration of microglia in the"}
+{"text": "A\u00a064-year-old male with previous primary percutaneous coronary intervention (pPCI) of the left anterior descending artery (LAD) presented with cardiogenic shock and inferior wall ST-segment elevation myocardial infarction (STEMI) Fig.\u00a0a. Corona"}
+{"text": "Biosci Rep (2021) 41(3):BSR20202993. doi: 10.1042/BSR20202993). would like to correct The authors of the original article \u201cThe effects of myeloablative or non-myeloablative total body irradiations on intestinal tract in mice\u201d ("}
+{"text": "Ananas comosus \u2018Phulae\u2019, Ananas comosus \u2018Pattavia\u2019, Carica papaya \u2018Khaekdum\u2019, Carica papaya \u2018Khaeknuan\u2019, Durio zibethinus \u2018Monthong\u2019, Durio zibethinus \u2018Chanee\u2019, Psidium guajava \u2018Kimju\u2019, Psidium guajava \u2018Keenok\u2019, Mangifera indica \u2018Kaew\u2019 and Mangifera indica \u2018Namdokmai\u2019 were screened for their inhibitory activities against the key enzymes, cholinesterases and \u03b2-secretase (BACE-1), involved in AD pathogenesis. The top three fruit extracts with promising in vitro anti-AD activities were further investigated using rat pheochromocytoma PC-12 neuronal cell line and Drosophila AD model. Data showed that M. indica \u2018Kaew\u2019, M. indica \u2018Namdokmai\u2019 and P. guajava \u2018Kimju\u2019 reduced A\u03b21\u201342-mediated neurotoxicity by promoting glutathione-dependent enzymes, while M. indica \u2018Namdokmai\u2019 limited A\u03b21\u201342 peptide formation via BACE-1 inhibition and amended locomotory behavior of the Drosophila AD model. Results indicated the potential anti-AD properties of tropical fruits, particularly M. indica \u2018Namdokmai\u2019 in the prevention of A\u03b21\u201342-mediated neurotoxicity and as a BACE-1 blocker.Alzheimer\u2019s disease (AD) is a progressive neurological illness with few effective treatments. Thus, ameliorating the effects of AD using natural products has attracted global attention with promising efficacy and safety. In this study, ten tropical fruits including Apparently, the difference in two amino acids of A\u03b2 cause significantly different structures, bioactivities, and clinical behaviors. A\u03b21\u201342 peptide is aggregated faster than A\u03b21\u201340 peptide and becomes more neurotoxic. The cerebrospinal fluid A\u03b21\u201342/1\u201340 ratio is currently used as an effective biomarker in AD pathology - Amyloid \u03b2/A4 Precursor Protein 770 Fragment 667-676- Lys-Arg-Arg amide substrate per minute at pH 4.5 at 37 \u00b0C.Quantification of A\u03b2 peptide and BACE-1 activity in fly brain were conducted as formerly detailed without modification . In brien = 3) or as indicated otherwise. The results are presented as mean \u00b1 standard deviation (SD). One\u2013way or two-way analysis of variance (ANOVA) with Duncan\u2019s multiple comparison test or Tukey\u2019s multiple comparisons test (more than two data) were used to state significant difference among values. For the comparison of two data sets, significant differences between values using Student\u2019s unpaired t-test were employed. Statistically analyses were performed using the statistical package for the social sciences .All experiments were performed in triplicate (M. indica \u2018Namdokmai\u2019 and M. indica \u2018Keaw\u2019) and guava (P. guajava \u2018Kimju\u2019) extracts, suggesting their potential roles in anti-AD properties. These three extracts were thus further investigated using cell culture and Drosophila model of AD. Additionally, we hypothesized that phenolics might be responsible for the in vitro activities. However, it is difficult to relate phenolics to their bioactivities due to limited information on LC-ESI-MS/MS analysis, which only presents the phenolic profiles of the selected fruit extracts and only in vitro experiments may not be sufficient to define inactive extracts. Thus, excluding seven extracts could be considered a limitation of the present study. Nevertheless, M. indica \u2018Namdokmai\u2019 extract showed promising anti-AD potential by preventing A\u03b2-induced oxidative stress in neuronal cells and inhibiting BACE-1 in AD flies. Elucidation of the bioactive agents or effective doses in higher animal models, however, requires comprehensive further investigation.The in vitro results indicated the overall strong AChE, BChE, and BACE-1 inhibitory activities of mango ("}
+{"text": "Cell Death and Disease 10.1038/s41419-022-04834-5, published online 18 April 2022Correction to: The original version of this article unfortunately contained an error in an author name. instead of \u201cBravo-SanPedro\u201d, the name should be \u201cBravo-San Pedro\u201d with a space between \u201cSan\u201d and \u201cPedro\u201d. We apologize for this error. The original article has been corrected."}
+{"text": "Scientific Reportshttps://doi.org/10.1038/s41598-022-19570-1, published online 15 September 2022Correction to: The original version of this\u00a0Article contained an error in Figure 1 labels, where the material names were incorrect.\u201cmt-mAmCs\u201d.now reads:\u201cMMT-mAmCs\u201d.And \u201cmt\u201d.now reads:\u201cMMT\u201dThe original Figure\u00a0The original Article has been corrected."}
+{"text": "Neuropsychopharmacology 10.1038/s41386-022-01312-6, published online 27 April 2022Correction to: In the sentence beginning \u201cBehavior on Go and No-Go...\u201d and onward, the value] \u201cp\u201d should have read \u201cF\u201d. The original article has been corrected."}
+{"text": "It was possible to distinguished 27 Homogenousvs 30 Heterogenous IQ-profile.Reacting very little emotionally\u201d, \u201cTendency to isolation\u201d. Visual-Spatial-Index (VSI) with \u201cAbility to adapt to new people\u201d , \u201cfew interests\u201d . Verbal-Comprehension-Index (VCI) with \u201cReacting strongly to frustration\u201d, \u201cDifficulties to understand limits\u201d, \u201cSeparation anxiety\u201d. A significant difference between homogenous/heterogonous groups was shown regarding \u201cfew interests\u201d with high rate in the heterogonous group .No significant difference between homogenous/heterogonous groups, FIQ was positively significantly correlated with \u201cHIP seems to cover specific psycho-socio-emotional characteristics linked to IQ index distribution. Thus, it appears interesting to assess more the emotional and socio-cognitive field to understand these characteristics in HIP children.No significant relationships."}
+{"text": "Severe acute respiratory syndrome coronavirus 2 (SARS-CoV-2) infection has been extensively shown to cause many neurological sequelae, and cognitive deficits (known as \u201cbrain fog\u201d) may particularly and widely occur even in individuals with mild symptoms . PeripheNature by Hosang et al. [\u201cLong COVID\u201d has become another major public health crisis. The \u201clung-brain axis\u201d has recently received increasing attention, and research published in g et al. suggesteg et al. . The infg et al. revealedThe peripheral cytokine storm initiated by SARS-CoV-2 infection may subsequently impact and trigger an inflammatory response in the nervous system . UnderstTaken as a whole, Fern\u00e1ndez-Casta\u00f1eda et al. demonstrAn analysis of 2-years retrospective cohort study indicated that the increased cognitive deficit after COVID-19 persisted throughout the follow-up . Importa"}
+{"text": "Correction: Sports Medicine - Open (2021) 7:61 10.1186/s40798-021-00351-5After publication of \u2018Reply to: Comment on: \u201cUsing Field Based Data to Model Sprint Track Cycling Performance\u201d\u2019 , the pubAs a result, Fig.\u00a01a has been removed from the original article."}
+{"text": "Scientific Reports 10.1038/s41598-021-03016-1, published online 28 January 2022Correction to: The original version of this Article contained errors in the HPRT Reverse Primer and Probe primer sequences, which should read as: Antisense (HPRT-R) GGTCCTTTTCACCAGCAAGCT and Probe (HPRT-P) CTTTCCTTGGTCAGGCAGTATAATC. As a result, in the Materials and methods section, under the subheading \u2018Semi-nested RTqPCR for sample enrichment\u2019,\u201cThe qPCRBIO 1-Step Go Lo-Rox Kit reagents (PCR Biosystems) and manufacturer recommended cycling parameters were used with 900 nM TGACACTGGCAAAACAATGCA HPRT Forward Primer, 900 nM AGCTTGCTGGTGAAAAGGACC HPRT Reverse Primer and 250 nM TTTCCTTGGTCAGGCAGTATAATC VIC/TAMRA Probe (ThermoFisher Scientific).\u201dnow reads:\u201cThe qPCRBIO 1-Step Go Lo-Rox Kit reagents (PCR Biosystems) and manufacturer recommended cycling parameters were used with 900\u00a0nM TGACACTGGCAAAACAATGCA HPRT Forward Primer, 900\u00a0nM GGTCCTTTTCACCAGCAAGCT HPRT Reverse Primer and 250\u00a0nM CTTCCTTGGTCAGGCAGTATAATC VIC/TAMRA Probe (ThermoFisher Scientific).\u201dAdditionally, there was an error in 574P and 599R sequences in Table 2, where \u201cI\u201d should read \u201cN\u201d. Thermofisher does not provide the oigonucletides with an Inosine base. They provide equimolar amounts of each possible base in this position.should read:The original Article has been corrected."}
+{"text": "The secondary structures of ribosomal RNAs (rRNAs) were predicted. Six domains (III is absent in arthropods) and 44 helices were included in the 16S rRNA, and three domains and 24 helices were included in the 12S rRNA. We found three conserved fragments in all syrphid mitogenomes. Phylogenetic analyses were performed based on the nucleotide data of 13 PCGs and two rRNAs from 76 Muscomorpha and three outgroup species. In results the paraphyly of Aschiza and Schizophora were supported, the Acalyptratae was also paraphyletic but the relationships of its superfamilies were difficult to determine, the monophyly of Calyptratea was supported with the relationships of Oestroidea and Muscoidea need to be further reconsidered. Within Syrphidae the monophyly of family level was supported, the Syrphinae were clustered into one branch, while the paraphyly of Eristalinae was still well supported.In this study, 18 mitochondrial genomes (mitogenomes) of Syrphidae were sequenced. These mitogenomes ranged from 15,648 to 16,405 bp and contained 37 genes that were similar to those from other Syrphidae species. Most protein-coding genes (PCGs) started with a standard ATN codon and ended with TAA/G. All transfer RNAs (tRNAs) could be folded into the cloverleaf secondary structure except The Platypezoidea diverged first, sister to the other species of Muscomorpha . The parThe Acalyptratae was paraphyletic in our results. The superfamilies Ephydroidea, Tephritoidea, Lauxanioidea, and Opomyzoidea were monophyletic . The supet al. [et al. [et al. [et al. [The monophyly of Calyptratea was supported. Its cluster formed almost as (Hippoboscoidea + (Oestroidea + (Muscoidea + Oestroidea))), and the family-level topology was always (Hippoboscidae + (Tachinidae + Oestridae) + )))) . Muscoidet al. , Wiegman [et al. , and Kut [et al. conclude [et al. found Oe [et al. ,35. Thiset al. [et al. [Asarkina ericetorum was most closely related to Dideoides latus, while in other trees it was more closely related to Ocyptamus sativus and Platycheirus albimanus. Also, while the topology of was well supported, the position of this clade was less stable Click here for additional data file.S2 FigThe \u201c-\u201d indicates Watson-Crick base pairing and \u201c\u2022\u201d indicates non-Watson-Crick base pairing.(DOCX)Click here for additional data file.S3 FigThe \u201c-\u201d indicates Watson-Crick base pairing and \u201c\u2022\u201d indicates non-Watson-Crick base pairing.(DOCX)Click here for additional data file.S4 FigThe \u201c-\u201d indicates Watson-Crick base pairing and \u201c\u2022\u201d indicates non-Watson-Crick base pairing.(DOCX)Click here for additional data file.S5 FigThe \u201c-\u201d indicates Watson-Crick base pairing and \u201c\u2022\u201d indicates non-Watson-Crick base pairing.(DOCX)Click here for additional data file.S6 FigThe \u201c-\u201d indicates Watson-Crick base pairing and \u201c\u2022\u201d indicates non-Watson-Crick base pairing.(DOCX)Click here for additional data file.S7 FigThe \u201c-\u201d indicates Watson-Crick base pairing and \u201c\u2022\u201d indicates non-Watson-Crick base pairing.(DOCX)Click here for additional data file.S8 FigThe \u201c-\u201d indicates Watson-Crick base pairing and \u201c\u2022\u201d indicates non-Watson-Crick base pairing.(DOCX)Click here for additional data file.S9 FigThe \u201c-\u201d indicates Watson-Crick base pairing and \u201c\u2022\u201d indicates non-Watson-Crick base pairing.(DOCX)Click here for additional data file.S10 FigThe \u201c-\u201d indicates Watson-Crick base pairing and \u201c\u2022\u201d indicates non-Watson-Crick base pairing.(DOCX)Click here for additional data file.S11 FigThe \u201c-\u201d indicates Watson-Crick base pairing and \u201c\u2022\u201d indicates non-Watson-Crick base pairing.(DOCX)Click here for additional data file.S12 FigThe \u201c-\u201d indicates Watson-Crick base pairing and \u201c\u2022\u201d indicates non-Watson-Crick base pairing.(DOCX)Click here for additional data file.S13 FigThe \u201c-\u201d indicates Watson-Crick base pairing and \u201c\u2022\u201d indicates non-Watson-Crick base pairing.(DOCX)Click here for additional data file.S14 FigThe \u201c-\u201d indicates Watson-Crick base pairing and \u201c\u2022\u201d indicates non-Watson-Crick base pairing.(DOCX)Click here for additional data file.S15 FigThe \u201c-\u201d indicates Watson-Crick base pairing and \u201c\u2022\u201d indicates non-Watson-Crick base pairing.(DOCX)Click here for additional data file.S16 FigThe \u201c-\u201d indicates Watson-Crick base pairing and \u201c\u2022\u201d indicates non-Watson-Crick base pairing.(DOCX)Click here for additional data file.S17 FigThe \u201c-\u201d indicates Watson-Crick base pairing and \u201c\u2022\u201d indicates non-Watson-Crick base pairing.(DOCX)Click here for additional data file.S18 FigThe \u201c-\u201d indicates Watson-Crick base pairing and \u201c\u2022\u201d indicates non-Watson-Crick base pairing.(DOCX)Click here for additional data file.S19 Fig(DOCX)Click here for additional data file.S20 Fig(DOCX)Click here for additional data file.S21 Fig(DOCX)Click here for additional data file.S22 Fig(DOCX)Click here for additional data file.S23 Fig(DOCX)Click here for additional data file.S24 Fig(DOCX)Click here for additional data file.S25 Fig(DOCX)Click here for additional data file.S26 Fig(DOCX)Click here for additional data file.S27 Fig(DOCX)Click here for additional data file.S28 Fig(DOCX)Click here for additional data file.S29 Fig(DOCX)Click here for additional data file.S30 Fig(DOCX)Click here for additional data file.S31 Fig(DOCX)Click here for additional data file.S32 Fig(DOCX)Click here for additional data file.S33 Fig(DOCX)Click here for additional data file.S34 Fig(DOCX)Click here for additional data file.S35 Fig(DOCX)Click here for additional data file.S36 Fig(DOCX)Click here for additional data file.S37 Fig(DOCX)Click here for additional data file.S38 Fig(DOCX)Click here for additional data file.S39 Fig(DOCX)Click here for additional data file.S40 Fig(DOCX)Click here for additional data file.S41 Fig(DOCX)Click here for additional data file.S42 Fig(DOCX)Click here for additional data file.S43 Fig(DOCX)Click here for additional data file.S44 Fig(DOCX)Click here for additional data file.S45 Fig(DOCX)Click here for additional data file.S46 Fig(DOCX)Click here for additional data file.S47 Fig(DOCX)Click here for additional data file.S48 Fig(DOCX)Click here for additional data file.S49 Fig(DOCX)Click here for additional data file.S50 Fig(DOCX)Click here for additional data file.S51 Fig(DOCX)Click here for additional data file.S52 Fig(DOCX)Click here for additional data file.S53 Fig(DOCX)Click here for additional data file.S54 Fig(DOCX)Click here for additional data file.S55 FigInferred based on the 13 PCGs using ML.(DOCX)Click here for additional data file.S56 FigInferred based on the 13 PCGs using BI.(DOCX)Click here for additional data file.S57 FigInferred based on the first and second codons of the PCG12 using BI.(DOCX)Click here for additional data file.S58 FigInferred based on the first and second codons of the 13 PCGs and 2 rRNAs using ML.(DOCX)Click here for additional data file.S59 FigInferred based on the first and second codons of the 13 PCGs and 2 rRNAs using BI.(DOCX)Click here for additional data file.S1 Table(DOCX)Click here for additional data file.S2 Table(DOCX)Click here for additional data file.S3 Table(DOCX)Click here for additional data file.S4 Table(DOCX)Click here for additional data file.S5 Table(DOCX)Click here for additional data file.S6 Table(DOCX)Click here for additional data file.S7 Table(DOCX)Click here for additional data file.S8 Table(DOCX)Click here for additional data file.S9 Table(DOCX)Click here for additional data file.S10 Table(DOCX)Click here for additional data file.S11 Table(DOCX)Click here for additional data file.S12 Table(DOCX)Click here for additional data file.S13 Table(DOCX)Click here for additional data file.S14 Table(DOCX)Click here for additional data file.S15 Table(DOCX)Click here for additional data file.S16 Table(DOCX)Click here for additional data file.S17 Table(DOCX)Click here for additional data file.S18 Table(DOCX)Click here for additional data file."}
+{"text": "Blood Cancer Journal 10.1038/s41408-022-00726-1, published online 06 September 2022Correction to: In this article the affiliation details for Shilpi Chaudhary and Reema Bisht were incorrectly assigned as \u20183\u2019 but should have been \u20182\u2019."}
+{"text": "This article has been corrected.1In the Research Letter titled \u201cAssociation of Symptoms After COVID-19 Vaccination With Anti\u2013SARS-CoV-2 Antibody Response in the Framingham Heart Study,\u201d"}
+{"text": "Scientific Reportshttps://doi.org/10.1038/s41598-022-20791-7, published online 12 October 2022Correction to: The original version of this Article contained errors in Table 1, where there was a missing value in a row under \u201cSmoking exposure at home\u2014Yes\u201d in column \u201cGirls\u2014No\u2014N\u201d. The correct and incorrect values appear below.Incorrect:Correct:The original Article has been corrected."}
+{"text": "In the article titled \u201cmiR-195-5p Suppresses the Proliferation, Migration, and Invasion of Oral Squamous Cell Carcinoma by Targeting TRIM14\u201d . With th"}
+{"text": "Retraction Note: BMC Complement Med Ther 20, 88 (2020)https://doi.org/10.1186/s12906-020-2873-1The Editor has retracted this article because of overlap within figures, specifically:Figure 6A (panel \u201cHedgehog\u201d) overlaps with Figure 6A (panel \u201cGli\u201d)Figure 11A (panel \u201cModel SSB group\u201d) overlaps with Figure 11A (panel \u201cModel Silymarin group\u201d)The Editor therefore no longer has confidence in the integrity of the data.Xu Wang does not agree with this retraction. None of the other authors has responded to any correspondence from the Editor about this retraction."}
+{"text": "European Journal of Human Genetics 10.1038/s41431-022-01163-1, published online 18 August 2022Correction to: In the sentence beginning \u2018Similarly...\u2019 in the third paragraph in Discussion, \u201cp.Arg559*\u201d should have been \u201cp.Arg550*\u201d.The original article has been corrected."}
+{"text": "Scientific reports 10.1038/s41598-023-28716-8, published online 27 January 2023Correction to: bind, \u0394GCoulomb, \u0394GCovalent, \u0394GHbondd, \u0394GLipo, \u0394GSolvGB and \u0394GvdW appeared under an incorrect column heading. Additionally, the column heading \u201c\u0394GCoulomb\u201d was incorrectly stated as \u201c\u0394GCoulom\u201d. The original Table The original version of this Article contained errors in Table The original Article has been corrected."}
+{"text": "Scientific Reports 10.1038/s41598-018-23897-z, published online 04 April 2018Correction to: th September 2021 contains an error in one of the accession numbers for the type strain H15-1957-10CT.The Author Correction published on 8\u201cCSUR Q5983\u201dshould read:\u201cCSUR Q5984\u201d"}
+{"text": "This article has an addendum: The skin squamous-cell carcinoma (sSCC) samples were collected and used in compliance with the study protocol n\u00b02016-01851, approved by Commission cantonale d\u2019\u00e9thique de la recherche sur l\u2019\u00eatre humain du canton de Vaud (CER-VD), in line with the legal requirements. Patients signed a general consent for use of health-related data.638-648. https://doi.org/10.18632/oncotarget.27915Original article: Oncotarget. 2021; 12:638\u2013648."}
+{"text": "Fig.\u00a01A.Following publication of the original article , it was Fig.\u00a01A\u00a0US image showing patchy mild changes in echogenicity with hypoechoic areas and corresponding subcutaneous echogenicity in the vastus lateralis (cross-section) in a 26-year-old with Anti-NXP2.\u201dThe caption previously read: \u201cFig.\u00a01A Mild increased echogenicity in the vastus lateralis (cross section) and subcutaneous tissue with patches of hypoechogenicity in a 26-year-old with Anti-NXP2 DM.\u201dThe correct caption is: \u201cThe article also contained several typographical errors, which have been corrected.The original article has been"}
+{"text": "Correction: Trials 19, 103 (2018)https://doi.org/10.1186/s13063-018-2470-5qd four times daily\u201d. This should be \u201cqd once daily\u201d.Following publication of the original article it was r"}
+{"text": "Nature Communications 10.1038/s41467-022-29908-y, published online 25 April 2022.Correction to: DDS loss\u201d in Fig. 8a was shifted under the label \u201cAraliaceae-common WGD\u201d. In addition, in the same figure panel, the labels of \u201cDc WGD-\u03b1\u201d and \u201cDc WGD-\u03b2\u201d were shifted toward the label \u201cApiales ancestor\u201d (see incorrect figure below).In the original version of this Article, the label of \u201cThese have been corrected in both the PDF and HTML versions of the Article (see corrected figure below)."}
+{"text": "Scientific Reportshttps://doi.org/10.1038/s41598-023-27770-6, published online 18 January 2023Correction to: In the original version of this Article Toshiyuki Itai and Atsushi Sugie were omitted as equally contributing authors.In addition, in Table 1, a \u201c\u2013\u201d sign was omitted for \u201cCraniofacial/Neck features\u201d of \u201cIndividual 3\u201d.Incorrect:Correct:The original article has been corrected."}
+{"text": "Scientific Reportshttps://doi.org/10.1038/s41598-021-95928-1, published online 19 August 2021Correction to: The original version of this Article contained an error in Table 1 where row 2 was incorrect for \u201cCharacteristic\u201d,\u201cSex, female/male, no\u201dnow reads:\u201cSex, male/female, no\u201dThe original Article has been corrected."}
+{"text": "Dear Editor,We would like to share ideas on \u201cAcute kidney injury (AKI) after COVID-19 vaccines: a real-world study . Vaccina"}
+{"text": "Scientific reportshttps://doi.org/10.1038/s41598-020-79930-7, published online 12 January 2021Correction to: 2\u201d was incorrectly given as \u201cS\u201d.The original version of this Article contained an error in Equation\u00a01, where \u201cSThe original Article has been corrected."}
+{"text": "Correction: BMC Oral Health (2022) 22:620 10.1186/s12903-022-02631-2In this article, there is a typo in the result section of the Abstract.Original Abstract text: \u201cThe overall mean DMFT score was 5.93 (n\u2009=\u200914 studies) and\u2026\u2026\u201dRevised Abstract text: \u201cThe overall mean DMFS score was 5.93 (n\u2009=\u200914 studies) and\u2026\u2026\u201dThe original article has been corrected."}
+{"text": "Figure 7 has been corrected to:In the article, \u201cOutcome of bone-patellar tendon-bone vs hamstring tendon autograft for anterior cruciate ligament reconstruction: A meta-analysis of randomized controlled trials with a 5-year minimum follow-up\u201d"}
+{"text": "Communications Biology 10.1038/s42003-022-03912-w, published online 16 September 2022.Correction to: In the original version of the Article, the Acknowledgements incorrectly referenced \u201cgrant 31003B_6005\u201d. The text should read \u201cgrant 310030B_182830\u201d. This has now been corrected in the PDF and HTML versions of the Article."}
+{"text": "Correction to: EPMA Journal (2022)https://doi.org/10.1007/s13167-022-00295-0In this article the author name \u2018Tiancheng Xu\u2019 was incorrectly written as \u2018Tianchen Xu\u2019.The original article has been corrected."}
+{"text": "In the sentence beginning \u201cA C-shaped \u2026.\u201d in this article, the text \u201cin 3R tau and G304-E380 in 4R tau\u201d is mistakenly added. The correct sentence should read as \u201cA C-shaped core structure consisting of V306-F378 was identified in the brain of one individual with AD.\u201d"}
+{"text": "Correction to: Nature Communications 10.1038/s41467-022-31182-x, published online 20 June 2022\u22121 of air)\u201d instead of \u201cINPs x 10\u22123 (L\u22121 of air)\u201d. This has been corrected in both the PDF and HTML versions of the Article.The original version of this Article contained an error in Fig. 4, in which the y-axis should read \u201cINPs (L"}
+{"text": "Scientific Reports 10.1038/s41598-021-97880-6, published online 14 September 2021Correction to: + T-cell epitopes\u2019, where an incorrect Vaxijen score was stated for the epitope \u2018FKISVFGFA\u2019.The original version of this Article contained an error in the Results section under the subheading \u2018Prediction of cytotoxic T-cell/CD8\u201cA total of 77 CTL epitopes were detected to be antigenic in nature, with epitope \u2018FKISVFGFA\u2019 having the highest Vaxijen score of 2 0.2931.\u201dnow reads:\u201cA total of 77 CTL epitopes were detected to be antigenic in nature, with epitope \u2018FKISVFGFA\u2019 having the highest Vaxijen score of 2.2931.\u201dThe original Article has been corrected."}
+{"text": "In the article titled \u201cComprehensive Humoral and Cellular Immune Responses to SARS-CoV-2 Variants in Diverse Chinese Population\u201d , the loc"}
+{"text": "Nature Communications 10.1038/s41467-021-24792-4, published online 10 August 2021Correction to: In this article the grant number LS 139433-2016 relating to le comit\u00e9 Languedoc-Roussillon de la Ligue Contre le Cancer for B\u00e9reng\u00e8re Pradet-Balade was omitted. The original article has been corrected."}
+{"text": "Signal Transduction and Targeted Therapy 10.1038/s41392-022-00885-4, published online 02 March 2022Correction to: 1, the authors noticed the inadvertent mistakes occurred in Fig. After online publication of the articleThe authors mistakenly switched \u201c4h\u201d and \u201c1d\u201d UMAP plots. The correct version of Fig. The authos mistakenly spelled \u201cLeukocyte\u201d as \u201cLeukecyte\u201d. The correct version of Fig."}
+{"text": "The publisher apologizes for the error.The second author\u2019s name is spelled incorrectly. The correct name is: \u0141ukasz Wyro\u017cemski. The correct citation is: Yao Y, Wyro\u017cemski \u0141, Lundin KEA, Sandve GK, Qiao S-W (2021) Differential expression profile of gluten-specific T cells identified by single-cell RNA-seq. PLoS ONE 16(10): e0258029."}
+{"text": "Scientific Reportshttps://doi.org/10.1038/s41598-022-14416-2, published online 16 June 2022Correction to: The original version of this Article contained an error in the Materials and methods section, under the subheading \u2018Characteristics of the samples\u2019.IR: concrete characteristic equal to PC01REF but without inclined shear reinforcement, as shown in Fig.\u00a03d.\u201d\u201cPC04now reads:IR: concrete characteristic equal to PC01REF but with inclined shear reinforcement, as shown in Fig.\u00a03d.\u201d\u201cPC04The original Article has been corrected."}
+{"text": "Scientific Reports 10.1038/s41598-021-01411-2, published online 23 November 2021Correction to: The original version of this Article contained an error in the title of the paper, where the word \u201ctrials\u201d was incorrectly given as \u201ctrails\u201d. The original Article has been corrected."}
+{"text": "Correction: BMC Medical Research Methodology 22, 217 (2022).10.1186/s12874-022-01692-9Following publication of the original article , the autThe equation in \u201cData-generating mechanisms\u201d should be:The text \u201cCorrect specification of theS\u2009=\u20092 covariate distribution\u201d should be \u201cCorrect specification of the S\u2009=\u20092 covariate distribution\u201d.The original article has been updated."}
+{"text": "Scientific Reportshttps://doi.org/10.1038/s41598-022-15770-x, published online 18 July 2022Correction to: The original version of this Article contained errors in the Funding section.\u201cThis research has received funding from the Ministry of Science and Innovation PI20/01532 project, and the Centro de Investigaci\u00f3n Biom\u00e9dica en Red-Epidemiolog\u00eda y Salud P\u00fablica (CIBERESP/CB06/02/1014).\u201dnow reads:\u201cThis research has received funding from the Ministry of Science and Innovation, Instituto de Salud Carlos III, FEDER co-funding from European Union (PI20/01532 project), and the Centro de Investigaci\u00f3n Biom\u00e9dica en Red-Epidemiolog\u00eda y Salud P\u00fablica (CIBERESP/CB06/02/1014).\u201dThe original Article has been corrected."}
+{"text": "Scientific Reports 10.1038/s41598-022-05242-7, published online 26 January 2022Correction to: The original version of this Article contained an error in the copyright line.\u201c\u00a9 The Author(s) 2022\u201dnow reads:\u201c\u00a9 National Technology & Engineering Solutions of Sandia, LLC 2022\u201dThe original Article has been corrected."}
+{"text": "Correction to: J Behav Health Serv Res10.1007/s11414-022-09826-zThe first name of a co-author is misspelled. \u201cManual\u201d should be \u201cManuel\u201d.The original article has been corrected."}
+{"text": "Correction to: BMC Geriatrics 22, 176 (2022)https://doi.org/10.1186/s12877-022-02820-2After publication of this article , the autIn Table 1, there is a superfluous c behind \u201cN Vascular problems\u201d; this can be removed twice.In Table 1, \u201cExposure to famine\u201d is aligned incorrectly; should be moved to the right, above \u201cIn late gestation; In mid gestation; In early gestation\u201d (as in Table 2).In Table 2, a note is missing: \u201cd Model 4: Sex-specific logistic regression model, adjusted for birth weight, education and SES\u201dThe original article has been"}
+{"text": "In the Invited Article, \u201cInvesting in Late-Life Brain Capital,\u201d DOI: 10.1093/geroni/igac-16, co-author Patrick Brannelly\u2019 name and was misspelled as \u201cBrannally\u201d. It has since been corrected."}
+{"text": "Nature 10.1038/s41586-021-04066-1 Published online 10 November 2021Correction to: In Extended Data Fig. 1 of this Article, the labels \u2018Market class\u2019 and \u2018Biological status\u2019 were inadvertently swapped. In the corresponding figure legend, \u201cTrack 1: Biological status; Track 2: Market class;\u201d should have been \u201cTrack 1: Market class; Track 2: Biological status;\u201d. The original Article has been corrected online"}
+{"text": "Correction: Pilot Feasibility Stud 8, 76 (2022)https://doi.org/10.1186/s40814-022-01030-2The safety analysis\u201d further down and \u201cThe recruitment\u201d and \u201cRetention\u201d on the page before under the heading Outcomes.Following publication of the original article , the autThe original article has been"}
+{"text": "Scientific Data 10.1038/s41597-022-01899-x, published online 3 January 2023.Correction to: Two column headings, \u201cHospital admissions\u201d and \u201cICU admissions\u201d, were missing from Table 1 in the original version of the paper. These have been corrected in the HTML and pdf versions."}
+{"text": "Scientific Reports 10.1038/s41598-021-03913-5, published online 07 January 2022Correction to: The Funding section in the original version of this Article was incorrect.\u201cThis work was supported by the Italian Ministry of Health (\u201c5\u2009\u00d7\u20091000\u201d).\u201dnow reads:\u201cThis research was funded by the Italian Ministry of Health (RC 2022).\u201dThe original Article has been corrected."}
+{"text": "Correction to: Nature Communications 10.1038/s41467-022-30653-5, published online 19 July 2022In this article the funding from \u2018Alzheimer\u2019s Drug Discovery Foundation (ADDF)\u2019 was omitted. The original article has been corrected."}
+{"text": "Nature Communications 10.1038/s41467-019-13657-6, published online 20 December 2019.Correction to: In this article the author name \u2018Jennifer Karin Ocasio\u2019 was incorrectly written as \u2018Jennifer Ocasio\u2019. The original article has been corrected."}
+{"text": "Journal of Healthcare Engineering has retracted the article titled \u201cInhibiting Autophagy Pathway of PI3K/AKT/mTOR Promotes Apoptosis in SK-N-SH Cell Model of Alzheimer's Disease\u201d [Disease\u201d due to cFollowing an investigation conducted by the Hindawi Research Integrity team , signifi"}
+{"text": "The purpose of this study was to determine and compare the percentage of completely healed meniscal tears after arthroscopic repair combined with anterior cruciate ligament reconstruction (ACLR) for the different vascular zones of the meniscus.PubMed, Embase, Web of Science, Cochrane library and Emcare were searched on 19 May 2020 for articles reporting healing rates after arthroscopic meniscal repair with concomitant ACLR for the different meniscal vascular zones as assessed by second-look arthroscopy. Data on meniscal tears were extracted as located in zones 1, 2 or 3, according to the Cooper classification. Studies were graded in quality using a modified Newcastle\u2013Ottawa Scale. Pooled analyses were performed utilizing a random-effects model. Meta-analyses were performed using R version 3.6.2 and SPSS statistical software version 25.0. The study was registered with PROSPERO (ID:CRD42020176175).n\u2009=\u200910) reporting zone 1 tears and 69% (95% CI 59\u201379%) for studies (n\u2009=\u20099) reporting zone 2 tears. No study reported healing rates for zone 3 tears. The pooled overall odds ratio was 2.5 (95% CI 1.00\u22126.02), indicating zone 1 tears as 2.5 times more likely to heal than zone 2 tears.Ten observational cohort studies met the inclusion criteria, accounting for 758 meniscal tear repairs in total. The pooled overall proportion of healing was 78% (95% CI 72\u201384%). The mean weighted proportion of healing was 83% (95% CI 76\u201390%) for studies (This study demonstrates that meniscal tears localized in vascular zone 1 were more likely to heal than those in zone 2.IV.The online version contains supplementary material available at 10.1007/s00167-022-06862-2. Meniscal lesions are one of the most common injuries in orthopaedic surgery and can be surgically treated by repair or by either partial, subtotal or total meniscectomy . When poIn 1982, Arnoczky et al. reported that the extent of vascular penetration in adults ranged from 10 to 30% for the medial meniscus and 10\u201325% for the lateral meniscus . LongituPre-clinical studies have shown that healing of meniscal tears is inherently bound to vascularity of the surrounding tissue , 8, 34. Completely healed meniscal tears after repair might result in functionally superior menisci and consequently better long-term outcomes than incomplete or non-healed tears. To assess healing, most studies look at clinical outcomes after meniscal repair, such as Patient Reported Outcome Measures (PROMs) or clinical tests, or imaging modalities such as MR imaging. The sensitivity, specificity and accuracy of clinical outcomes and different imaging modalities to determine biologically complete healing remains limited , 19, 27.This systematic review and meta-analysis was conducted following the Preferred Reporting Items for Systematic Reviews and Meta-Analyses (PRISMA) statement and was registered with PROSPERO prior to the screening of studies .A search strategy was constructed by an experienced librarian (JS). PubMed, Embase, Web of Science, Cochrane library and Emcare were searched for publications up to 19 May 2020, without restriction of publication date. The search included two components: \u2018\u2018Meniscal tear\u2019\u2019 OR \u2018\u2019Meniscal repair\u2019\u2019 and \u2018\u2018Healing\u2019\u2019 OR \u2018\u2018Success\u2019\u2019 OR \u2018\u2018Failure\u2019\u2019 . Subsequently, full-text articles were reviewed by the same reviewers (MG&TvL). Discrepancies were resolved through discussion. Two additional reviewers (PvS&PvD) were available when consensus could not be reached. A PRISMA (statement 2020) flowchart is provided in Fig.\u00a0Data were extracted by both reviewers (MG&TvL) independently using a prespecified data extraction sheet in Microsoft Excel 2016 . Data on healing rates after meniscal repair for different vascular zones were extracted. Meniscal healing assessed with second-look arthroscopy is generally classified as \u2018\u2018complete\u2019\u2019, \u2018\u2018incomplete/partial\u2019\u2019 or \u2018\u2018no healing\u2019\u2019, according to the criteria of Morgan et al. OR \u201ctear\u201d[tw] OR tear*[tw] OR ruptur*[tw])) OR \u201cTibial Meniscus Injuries\u201d[majr] OR \u201cMeniscus/injuries\u201d[majr] OR (\u201cKnee Injuries\u201d[majr] AND \u201cMeniscus\u201d[majr]) OR \u201cmeniscal repair\u201d[tw] OR \u201cmeniscal repairs\u201d[tw] OR \u201cmeniscus repair\u201d[tw] OR \u201cmeniscus repairs\u201d[tw]) AND ) NOT NOT ((\u201cCase Reports\u201d[ptyp] OR \u201ccase report\u201d[ti]) NOT ) AND english[la]). ADJ5 ) OR ) OR \u201cmeniscal repair\u201d.ti,ab OR \u201cmeniscal repairs\u201d.ti,ab OR \u201cmeniscus repair\u201d.ti,ab OR \u201cmeniscus repairs\u201d.ti,ab) AND )) NOT NOT (\u201cCase Report\u201d/ OR \u201ccase report\u201d.ti) AND english.la). OR NEAR/5 (\u201ctears\u201d OR \u201ctear\u201d OR tear*)) OR \u201cmeniscal repair\u201d OR \u201cmeniscal repairs\u201d OR \u201cmeniscus repair\u201d OR \u201cmeniscus repairs\u201d) AND ti\u2009=\u2009) OR NEAR/5 (\u201ctears\u201d OR \u201ctear\u201d OR tear*)) OR \u201cmeniscal repair\u201d OR \u201cmeniscal repairs\u201d OR \u201cmeniscus repair\u201d OR \u201cmeniscus repairs\u201d) AND ts\u2009=\u2009)) NOT ti\u2009=\u2009\u201dCase Report\u201d AND la\u2009=\u2009english NOT ti\u2009=\u2009. NEAR/5 (\u201ctears\u201d OR \u201ctear\u201d OR tear*)) OR \u201cmeniscal repair\u201d OR \u201cmeniscal repairs\u201d OR \u201cmeniscus repair\u201d OR \u201cmeniscus repairs\u201d) AND )):ti,ab,kw.Note: a study can be awarded a maximum of one star for each numbered item within the Selection and Outcome categories. A maximum of two stars can be given for Comparability.Truly representative of the average patient with a meniscal tear in the communitySomewhat representative of the average patient with a meniscal tear in the communitySelected group of patients, e.g. nurses, volunteers, military personnelNo description of the derivation of the cohortDrawn from the same community as the exposed cohortDrawn from a different sourceNo description of the derivation of the non-exposed cohortOnly one vascular zone describedRim width for classification of vascular region specified (in mm)No rim width for classification of vascular region specified (in mm)YesNoStudy only includes patients with the same type of tear Study controls for any other additional factor of possible influence Definition of healing based on 2nd-look specifiedDefinition of healing based on 2nd-look not specifiedYes, 2nd-look arthroscopy was at\u2009\u2265\u20096\u00a0monthsNoComplete follow-up\u2014all patients received 2nd-look arthroscopySubjects lost to follow-up unlikely to introduce bias, small number lost:\u2009>\u200980% follow-up rate or description provided of those who did not receive arthroscopy\u2009<\u200980% of meniscal repair patients received 2nd-look arthroscopy and no description of those lostNo statementQuality assesment of included studies, using the modified NOS.Ahn JH, Lee YS, Yoo JC, Chang MJ, Koh KH, Kim MH (2010) Clinical and second-look arthroscopic evaluation of repaired medial meniscus in anterior cruciate ligament-reconstructed knees. Am J Sports Med 38(3):472\u2013477Asahina S, Muneta T, Yamamoto H. (1996) Arthroscopic meniscal repair in conjunction with anterior cruciate ligament reconstruction: factors affecting the healing rate. Arthroscopy 12(5):541\u2013545Buseck MS, Noyes FR (1991) Arthroscopic evaluation of meniscal repairs after anterior cruciate ligament reconstruction and immediate motion. Am J Sports Med 19(5):489\u2013494Feng H, Hong L, Geng XS, Zhang H, Wang XS, Jiang XY (2008) Second-look arthroscopic evaluation of bucket-handle meniscus tear repairs with anterior cruciate ligament reconstruction: 67 consecutive cases. Arthroscopy 24(12):1358\u20131366Kang HJ, Chun CH, Kim KM, Cho HH, Espinosa JC (2015) The Results of All-Inside Meniscus Repair Using the Viper Repair System Simultaneously with Anterior Cruciate Ligament Reconstruction. Clin Orthop Surg 7(2):177\u2013184Kanto R, Yamaguchi M, Sasaki K, Matsumoto A, Nakayama H, Yoshiya S (2019) Second-Look Arthroscopic Evaluations of Meniscal Repairs Associated With Anterior Cruciate Ligament Reconstruction. Arthroscopy 35(10):2868\u20132877Matsushita T, Nagai K, Araki D, Tanaka T, Matsumoto T, Nishida K, et al. (2017) Factors associated with the status of meniscal tears following meniscal repair concomitant with anterior cruciate ligament reconstruction. Connect Tissue Res 58(3\u20134):386\u2013392Miao Y, Yu JK, Ao YF, Zheng ZZ, Gong X, Leung KK (2011) Diagnostic values of 3 methods for evaluating meniscal healing status after meniscal repair: comparison among second-look arthroscopy, clinical assessment, and magnetic resonance imaging. Am J Sports Med 39(4):735\u2013742Seo SS, Kim CW, Lee CR, Park DH, Kwon YU, Kim OG, et al. (2020) Second-look arthroscopic findings and clinical outcomes of meniscal repair with concomitant anterior cruciate ligament reconstruction: comparison of suture and meniscus fixation device. Arch Orthop Trauma Surg 140(3):365\u2013372Tachibana Y, Sakaguchi K, Goto T, Oda H, Yamazaki K, Iida S (2010) Repair integrity evaluated by second-look arthroscopy after arthroscopic meniscal repair with the FasT-Fix during anterior cruciate ligament reconstruction. Am J Sports Med 38(5):965\u2013971Supplementary file1 (SAV 10 KB)Below is the link to the electronic supplementary material."}
+{"text": "Funding statement. This work was funded by two different grants from FAPEMIG (CDS-APQ 00908-08 and APQ-00581-11), although just one was mentioned (CDS-APQ 00908-08). The correct Funding statement appears below.In the published article, there was an error in the \u201cThis work was supported by Coordena\u00e7\u00e3o de Aperfei\u00e7oamento de Pessoal de N\u00edvel Superior (CAPES) (PNPD-2455/2011 and Finance code 001), Funda\u00e7\u00e3o de Amparo a Pesquisa do Estado de Minas Gerais (FAPEMIG) (CDS-APQ 00908-08 and APQ-00581-11), and Conselho Nacional de Desenvolvimento Cient\u00edfico e Tecnol\u00f3gico (CNPq) (445096/2014-4) funding agencies\u201d.The authors apologize for this error and state that this does not change the scientific conclusions of the article in any way. The original article has been updated."}
+{"text": "Scientific Reports 10.1038/s41598-022-13562-x, published online 03 June 2022Correction to: P-value\u2019 was incomplete for \u2018Females\u2019. Furthermore, data in the row \u2018CES-D\u2019 contained errors, where the p-value for \u2018Males\u2019 and the data \u2018Non-depressive symptoms\u2019 for \u2018Females\u2019 was displaced, and data for \u2018Depressive symptoms\u2019 for \u2018Females\u2019 was omitted.The original version of this Article contained errors in Table 1, where the column \u2018The original Table The original Article has been corrected."}
+{"text": "Nature Communications 10.1038/s41467-022-35076-w, published online 03 December 2022Correction to: In this article the patent application mentioned in the \u2018Competing interests\u2019 statement was incorrectly given as \u2018PCT/US2002/024082\u2019 but should have been \u2018PCT/US2022/024082\u2019. The original article has been corrected."}
+{"text": "We present images from a 71-year-old prostate cancer patient who underwent a robot-assisted radical prostatectomy and extended pelvic lymph node dissection (ePLND) complemented with experimental sentinel node (SN) resection .99mTc-nanoscan (218\u00a0MBq in 2\u00a0ml) was used, which has replaced the well-known ICG-99mTc-nanocolloid [99mTc-nanoscan . With that, the former can act as \u201cred-flag\u201d to highlight tissues that should be spared, while the latter provides\u00a0a \u201dgreen-flag\u201d for tissues that should be resected. As such, the presented three-way multiplexing approach may help preserve the oncological benefit of ePLND\u2009+\u2009SN [For SN identification, the bimodal/hybrid tracer ICG-ocolloid . Preoperocolloid . It is aocolloid , 6. WithLND\u2009+\u2009SN , while p"}
+{"text": "Following the publication of the original article , the autIncorrect line: L-OHP(\u2009+) group (n\u2009=\u200926), L-OHP(\u2009\u2212) group (n\u2009=\u200926).Corrected line: L-OHP(\u2009+) group (n\u2009=\u200921), L-OHP(\u2009\u2212) group (n\u2009=\u200921).The original article has been corrected."}
+{"text": "Scientific Reports 10.1038/s41598-021-98807-x, published online 28 September 2021Correction to: The original version of this Article contained a repeated error in Figure\u00a01 where the code name of the rubber \u201cLNR\" was incorrectly given as \u201cLPN\u201d.The original Figure\u00a0The original Article has been corrected."}
+{"text": "Nature Communications 10.1038/ncomms13344, published online 24 November 2016.Correction to: In the original version of this article the \u201cMethod\u201d section stated an incorrect provenance for the cardiomyocytes Cor.4U. These were not derived from human iPS cells, as stated in the original article, but were derived from the human embryonic stem (hES) cell line RUES2, as has recently been determined following short tandem repeat testing carried out by Ncardia AG (formerly Axiogenesis). This does not alter the findings and interpretation of the data, as the cells are bone fide human pluripotent cell derived cardiomyocytes.The original sentence in the \u201cMethods\u201d section read: \u201cMEA measurements in cardiomyocytes derived from induced pluripotent stem cells (iPS) were performed\u201d. The sentence now reads: \u201cMEA measurements in cardiomyocytes derived from the hES cell line RUES2 ) were performed\u201d.The legend of Fig. 2k originally read: \u2018Representative traces of field potential in human iPS-derived cardiomyocytes highlighting effect of IL-1\u03b2 on the field potential duration (FPD)\u2019. This now reads: \u2018Representative traces of field potential in hES cell-derived cardiomyocytes highlighting effect of IL-1\u03b2 on the field potential duration (FPD)\u2019.The legend of Fig. 3e originally read: \u2018Representative traces of field potential in human iPS-derived cardiomyocytes highlighting inhibitory influence of CamKII with AIP of the IL-1\u03b2 effect on the field potential duration (FPD)\u2019. It now reads: \u2018Representative traces of field potential in hES cell-derived cardiomyocytes highlighting inhibitory influence of CamKII with AIP of the IL-1\u03b2 effect on the field potential duration (FPD)\u2019.In the \u201cResults\u201d section the sentence that read \u201cWe, therefore, tested IL-1\u03b2 effects in human induced pluripotent stem-cell derived cardiomyocytes (hIPS-CM) using field potential duration (FPD) measurement. Our experiments revealed longer FPD on IL-1\u03b2 treated hIPS cell-CM, when compared with untreated hIPS-CM\u201d now reads \u201cWe, therefore, tested IL-1\u03b2 effects in human embryonic stem-cell derived cardiomyocytes (hES-CM) using field potential duration (FPD) measurement. Our experiments revealed longer FPD on IL-1\u03b2 treated hES-CM, when compared with untreated hES-CM\u201d.In the \u201cResults\u201d section the sentence that read \u201cAdditionally, in order to elucidate whether the CaMKII inhibition also could have a key role in human cells, hIPS-CM were exposed to IL-1\u03b2 in the absence or in the presence of a selective CaMKII inhibitor (autocamtide\u20142\u2014related inhibitory peptide (AIP)). In this setting, it was observed that the CaMKII inhibition was able to prevent the IL-1\u03b2-induced longer FPD in hIPS-CM \u201d. now reads: \u201cAdditionally, in order to elucidate whether the CaMKII inhibition also could have a key role in human cells, hES-CM were exposed to IL-1\u03b2 in the absence or in the presence of a selective CaMKII inhibitor (autocamtide-2-related inhibitory peptide (AIP)). In this setting, it was observed that the CaMKII inhibition was able to prevent the IL-1\u03b2-induced longer FPD in hES-CM \u201d.In the Acknowledgements, the sentence that read: \u201cWe thank Axiogenesis AG for providing hiPS-derived cardiomyocytes and Genentech, which authorized the use Nlrp3\u2212/\u2212 mice\u201d now reads: \u201cWe thank Axiogenesis AG (now Ncardia AG) for providing hES cell-derived cardiomyocytes and Genentech, which authorized the use Nlrp3\u2212/\u2212 mice\u201d. These errors have now been corrected in the HTML and PDF version of the article."}
+{"text": "Cell Death Discovery 10.1038/s41420-021-00799-0, published online 10 January 2022Correction to: The original version of this article unfortunately contained an error in an author name. Hridindu Roychowdhury was incorrectly spelled as \u201cRoychowdury\u201d. The correct spelling is \u201cRoychowdhury\u201d. The original article has been corrected."}
+{"text": "Gene, namely\u2329x\u232aq=elnqquation \u2211n=1Equation .m of Equation(32)n=eq-mapping and its inverse The q-natural numbers satisfy q-natural numbers satisfy q-prime numbers for For q-primes, we should keep the factorization concept in q-mapping from q-generalized product of q-numbers) between any pair of q-integers q-transform of In order to introduce the concept of Equation , let \u2329m\u232a in Ref. (its Equ in Ref. follows zability:\u2329m\u232aq\u2297q\u2329n\u232aIn order that the above operations are meaningful in q-integer by construction.The following definitions satisfy properties and 34)34):35)\u2329\u2329(35)\u2329m\u232aqq-product q-transform Closedness of the operation:CommutativityAssociativityDistributivity of the product q-additionNeutral element of the q-productNeutral element of the By construction, it is clear that this definition of the q-transformed integers, corresponding to Equation . We canEquation as(56)\u2211Equation .q-algebra introduced here is sufficient to write down the q-version of the Euler sum and the Euler product in q-representation formally asThe definitions of the q. q. of , 0\u2329x\u2297EquatEquation of 8]))q-produA19) of [x\u2295qy\u2261eqlnA19) of [x\u2295qy\u2261eqlnquations 4 and (A1The properties \u201345) als als45) aons (see ).(64)\u03b6qIn the next Section we present details on a specific generalization.q-generalizations of the Riemann q-number defined in Equation \u232918q-integer numbers into q-prime numbers achieveequality ), or somq-primes remains the same as that for z, all nontrivial zeros belong to specific single continuous curves, q-generalizing the Since the inequality relation between q-number, Equation and and\u03b6(s) quations , are idesee Ref. ), the otpositive maximal Lyapunov exponent) [q-generalized, in [q-generalizations of prime numbers and of the q-random matrices and to weak chaos ,18,19,20ized, in ,22,23,24"}
+{"text": "The footnote \u201ca\u201d should have only appeared once. This article has been corrected.1In the Original Investigation titled \u201cModel-Estimated Association Between Simulated US Elementary School\u2013Related SARS-CoV-2 Transmission, Mitigation Interventions, and Vaccine Coverage Across Local Incidence Levels,\u201d"}
+{"text": "Correction to: Scientific Reports 10.1038/s41598-022-05353-1, published online 07 February 2022The original version of this Article contained an error in Figure 6 where \u201cNo Forecast\u201d was incorrectly given as \u201cNo Rorecast\u201d.The original Figure The original Article has been corrected."}
+{"text": "Scientific Reports 10.1038/s41598-021-03582-4, published online 04 February 2022Correction to: The Supplementary Information file published with this Article contained a repeated error, where the term \u201cinactive\u201d was incorrectly given as \u201ccontrol.\u201d The original This error has now been corrected in the Supplementary Information file that accompanies the original Article.Supplementary Information."}
+{"text": "Correction to: Mol Neurodegeneration 16, 2 (2021)https://doi.org/10.1186/s13024-021-00424-9The original article containsAll instances of \u2018Masuperdine\u2019 should thus be considered as \u2018Masupirdine\u2019."}
+{"text": "Scientific Reports 10.1038/s41598-020-79866-y, published online 12 January 2021Correction to: p (cm/s2)\u201d\u00a0and \u201cv\u2019m (cm/s2)\u201d. The correct and incorrect values appear below.The original version of this Article contained errors in Table 2, where the values for echocardiography category were incorrect for \u201cv\u2019Incorrect:Correct:"}
+{"text": "Scientific Reports 10.1038/s41598-017-13180-y, published online 16 October 2017Correction to: The original version of this Article contains errors in Equation\u00a05 where a negative sign is omitted.Equation\u00a05:should read:"}
+{"text": "This article has been corrected: The \u2018Antibodies and Compounds\u2019 section has been updated to read, \u201cThe following antibodies were purchased from Cell Signaling Technology : anti-Smad2 and loading control antibodies (antiGAPDH or anti-beta actin).\u201d In addition, the \u2018Quantitative reverse transcription-PCR (qRT-PCR)\u2019 section has been updated to read, \u201cPrimers for SERPINE, SMAD7, SNAI1, PLAUR, and MUC5AC were purchased\u2026.\u201d The authors declare that these corrections do not change the results or conclusions of this paper.810-824. https://doi.org/10.18632/oncotarget.26574Original article: Oncotarget. 2019; 10:810\u2013824."}
+{"text": "Correction to: Arthritis Res Ther 23, 72 (2021)https://doi.org/10.1186/s13075-021-02453-7Following publication of the original article , a typo The word \u201ctrail\u201d should be corrected to \u201ctrial\u201d.The original article has been corrected."}
+{"text": "Microsystems & NanoengineeringCorrection to: 10.1038/s41378-020-00190-6 published online 5 October 20201.The authors would like to add the below \u2018Conflict of interest\u2019 statement to this article\u201cArka Majumdar and Karl F. B\u00f6hringer are co-founders of Tunoptix Inc., which is commercializing technology discussed in this article.\u201dThe original article has been updated."}
+{"text": "Correction to: BMC Public Health 21, 565 (2021)https://doi.org/10.1186/s12889-021-10565-7It was highlighted that the original article containeIncorrectMore regularly, \u201cday-to-day discrimination [ \u2026] comes in the form of \u201cmicro-aggressions\u201d such as [\u2026] misguided comments\u201d ( p.n.p.),CorrectMore regularly, \u201cday-to-day discrimination [\u2026] comes in the form of \u201cmicro-aggressions\u201d such as [\u2026] misguided comments\u201d ( p.n.p.),IncorrectThey regularly encounter \u201cnegative weight-related attitudes and beliefs demonstrated by stereotypes, rejection and prejudice\u201d ( p.347).CorrectThey regularly encounter \u201cnegative weight-related attitudes and beliefs that are manifested by stereotypes, rejection and prejudice\u201d ( p.347).https://www.apa.org/topics/racism-bias-discrimination/types-stress. The reference has been updated.Finally, with regard to reference , the lin"}
+{"text": "Bromelia karatas on STZ-NA-Induced Diabetic Rats\u201d [In the article titled \u201cPhytochemical Composition and Chronic Hypoglycemic Effect of ic Rats\u201d , the aut"}
+{"text": "Scientific Reports 10.1038/s41598-021-91657-7, published online 08 June 2021Correction to: a\u201d value for \u201cECOG PS\u201d was incorrectly assigned. The correct and incorrect values appear below.The original version of this Article contained errors in Table 4, where the P value was omitted and the \u201cAdjusted HR (95% CI)Incorrect:"}
+{"text": "Scientific Reports 10.1038/s41598-019-49470-w, published online 10 September 2019Correction to: The original version of this Article contained errors in Figure 3C, where the graph showing \u201cPI\u201d was a duplication of \u201cLPE\u201d.The original Figure The original Article has been corrected."}
+{"text": "Scientific Reportshttps://doi.org/10.1038/s41598-021-86232-z, published online 23 March 2021Correction to: Massilia antibiotica\u00a0sp. nov.\u2019, where,The original version of this Article contained an error in the Result and discussions section, under the subheading \u2018Description of\u00a0T 1T (=\u2009KACC 21627T\u2009=\u2009NBRC 114363T), was isolated from oil-contaminated experimental soil in Kyonggi University, Republic of Korea.\u201d\u201cThe type strain, TW-1now reads:T (=\u2009KACC 21627T\u2009=\u2009NBRC 114363T), was isolated from oil-contaminated experimental soil in Kyonggi University, Republic of Korea.\u201d\u201cThe type strain, TW-1The original Article has been corrected."}
+{"text": "Mycoplasma capricolum subsp. Capripneumoniae (Mccp) Protein in Contagious Caprine Pleuropneumonia (CCPP) Vaccine\u201d [In the article titled \u201cDevelopment and Evaluation of an Immuno-Capture Enzyme-Linked Immunosorbent Assay to Quantify the Vaccine\u201d , informa"}
+{"text": "Nature Communications 10.1038/s41467-021-21785-1, published online 12 March 2021.Correction to: The copyright holder for this article was incorrectly given as \u2018The Author(s)\u2019 but should have been \u2018Battelle Memorial Institute\u2019."}
+{"text": "Curcuma longa, Chaenomeles sinensis, and Zingiber officinale Contains Anti-AChE Compounds and Improves \u03b2-Amyloid-Induced Memory Impairment in Mice\u201d [In the article titled \u201cWS-5 Extract of in Mice\u201d , there wIn addition, the authors wish to replace The corrected Figures"}
+{"text": "Scientific Reports 10.1038/s41598-021-89681-8, published online 13 May 2021Correction to: The original version of this Article contained errors in the Abstract.\u201cAdults (\u2265\u200918 years) who suffered a non-traumatic OHCA between January 2013 and December 2018, without return of spontaneous circulation or extracorporeal cardiopulmonary resuscitation therapy were eligible.\u201dnow reads:\u201cAdults (\u2265 18 years) who suffered a non-traumatic OHCA between January 2013 and December 2018\u00a0with return of spontaneous circulation, but without extracorporeal cardiopulmonary resuscitation\u00a0therapy were eligible.\u201dThe original Article has been corrected."}
+{"text": "Scientific Reports 10.1038/s41598-021-86827-6, published online 20 April 2021Correction to: The original version of this Article contained an error in the copyright line.\u201c\u00a9 The Author(s) 2021\u201dnow reads:\u201c\u00a9 NATO 2021\u201dThe original Article has been corrected."}
+{"text": "Correction to:Neth Heart J 201910.1007/s12471-019-01331-xThe original version of this article unfortunately contained a\u00a0mistake. The authors of \u201cFirst report of a\u00a0comparative patient-oriented perspective on the use of non-vitamin\u2011K oral anticoagulants or vitamin\u2011K antagonists in atrial fibrillation: patients\u2019 experiences, side-effects and practical problems leading to non-adherence brillation: patients\u2019 experiences, side-effects and practical problems leading to non-adherence\u201d (Neth Heart\u00a0J (2019) 27:596\u2013604) advise that in order to address concerns raised by the purported holders of intellectual property interests in the Morisky Medication Adherence Scale (\u201cMMAS\u201d), Appendices\u00a01\u20133 that include the Morisky Medication Adherence Scale\u20118 Item questionnaire should be removed from the article. As a\u00a0result, these appendices were removed and the remaining appendices were renumbered. The original article has been corrected.Appendix 1 \u2013 Questionnaire | questions on practical issues (in Dutch); Appendix 2 \u2013 Table S1 | Adverse events reported in VKA-users and NOAC-users"}
+{"text": "In the article titled \u201cmiR-183-5p Is a Potential Molecular Marker of Systemic Lupus Erythematosus\u201d ["}
+{"text": "Scientific Reports 10.1038/s41598-021-89166-8, published online 07 May 2021Correction to: The original version of this\u00a0Article contained an error in the caption of vertical coordinate in Figure 4(b). As a result,\u201cAlpha diversity index (v)\u201dnow reads:\u201cRelative abundance of Roseburia (v)\u201d.The original Figure\u00a0The original Article has been corrected."}
+{"text": "Scientific Reportshttps://doi.org/10.1038/s41598-021-99151-w, published online 01 October 2021.Correction to: The original version of this Article contained errors in Figure 6, panel (a). Under the EO and EC conditions, \u201cSim-AB\u201d and \u201cSim-iSCI\u201d were incorrectly given as \u201cSi AB\u201d and \u201cSi SCI\u201d. The original Figure The original Article has been corrected."}
+{"text": "Scientific Reports 10.1038/s41598-020-79525-2, published online 11 January 2021Correction to: The original version of this Article contained errors in Tables 3 and 4.\u201cLow-density lipoprotein cholesterol\u201d was incorrectly given as \u201cLow-sensitivity C-reactive protein\u201d.\u201cHigh-density lipoprotein cholesterol\u201d was incorrectly given as \u201cHigh-sensitivity C-reactive protein\u201d.The incorrect and correct values appear below:Table 3Incorrect:Correct:Table 4Incorrect:Correct:The original Article has been corrected."}
+{"text": "Scientific Reportshttps://doi.org/10.1038/s41598-020-78978-9, published online 10 February 2021Correction to: The original version of this Article contained errors.In Table 1, the cohort 2 \u201cHatchery\u201d Exit and \u201cFarm\u201d Entry months were inadvertently switched with the \u201cFarm\u201d Exit month. The correct and incorrect values appear below.Incorrect:Correct:Additionally, the Data Availability section was incorrect.\u201cData will be made available in UBC\u2019s Strait of Georgia Data Centre (sogdatacentre.ca) prior to publication.\u201dnow reads:https://doi.org/10.5061/dryad.x95x69pjz.\u201d\u201cData are available on the Dryad data repository at The original Article has been corrected."}
+{"text": "Scientific Reportshttps://doi.org/10.1038/s41598-021-02245-8, published online 22 November 2021Correction to: Eutypa cf. lata\u201d was incorrectly given as \u201cEutypalata\u201d in the key. The original Figure The original version of this Article contained an error in Figure 11 where \u201cThe original Article has been corrected."}
+{"text": "Correction to: Glycoconjugate Journal.10.1007/s10719-021-09988-6The original article has been corrected. The correct article title should be \u201cGlyconanoparticles as tools to prevent antimicrobial resistance\u201d instead of \u201cGlyconanano particles as tools to prevent antimicrobial resistance."}
+{"text": "Lim-Soh\u2019s author listing. Jeremy W. Lim-Soh\u2019s full name with degree should read: \u201cJeremy W. Lim-Soh, MA\u201d instead of \u201cWeizhong J Lim, MIS\u201d. The ORCID ID was inadvertently omitted and has been instated.In the article \u201cAgeism Linked to Culture, not Demographics: Evidence From an 8-Billion-Word Corpus Across 20 Countries\u201d [The Journals of Gerontology: Series B, gbaa181,"}
+{"text": "Correction to: BMC Medical Education 21, 410 (2021)https://doi.org/10.1186/s12909-021-02829-yFollowing publication of the original article , the aut\u201eFig.\u00a02 Person ability (top) and item parameter (bottom) distribution for the HygiKo-SJT \u201cinstead of \u201eFig.\u00a01 Sample item \u201cand vice versa.The explaining text below the sample vignette incorrectly reads \u201eFigure\u00a01 Sample item \u201c(page 4 of 8)\u201cFigure\u00a02 Person ability (top) and item parameter (bottom) distribution for the HygiKo-SJT \u201c(page 6 of 8)The correct descriptions to Figs.\u00a01 and 2 are:The original article has been corrected."}
+{"text": "We previously showed that superoxide dismutase 1 (SOD1) loss induced various aging-like pathologies via oxidative damage due to the accumulation of O2\u2022\u2212 in mice. However, the pathological contribution of XO-derived O2\u2022\u2212 production to aging-like tissue damage induced by SOD1 loss remains unclear. To investigate the pathological significance of O2\u2022\u2212 derived from XOR in Sod1\u2212/\u2212 mice, we generated Sod1-null and XO-type- or XDH-type-knock-in (KI) double-mutant mice. Neither XO-type- nor XDH-type KI mutants altered aging-like phenotypes, such as anemia, fatty liver, muscle atrophy, and bone loss, in Sod1\u2212/\u2212 mice. Furthermore, allopurinol, an XO inhibitor, or apocynin, a nicotinamide adenine dinucleotide phosphate oxidase (NOX) inhibitor, failed to improve aging-like tissue degeneration and ROS accumulation in \u2212/\u2212Sod1 mice. These results showed that XOR-mediated O2\u2022\u2212 production is relatively uninvolved in the age-related pathologies in Sod1\u2212/\u2212 mice.Reactive oxygen species (ROS) metabolism is regulated by the oxygen-mediated enzyme reaction and antioxidant mechanism within cells under physiological conditions. Xanthine oxidoreductase (XOR) exhibits two inter-convertible forms (xanthine oxidase (XO) and xanthine dehydrogenase (XDH)), depending on the substrates. XO uses oxygen as a substrate and generates superoxide (O These include mitochondrial respiration, xanthine oxidoreductase (XOR), and nicotinamide adenine dinucleotide phosphate (NADPH) oxidase (NOX) [In mammalian cells, several mechanisms or pathways are associated with the production of reactive oxygen species (ROS), including superoxide (Ose (NOX) ,2. RedoxSod1-deficient (Sod1\u2212/\u2212) mice show complete SOD1 protein loss and increased intracellular O2\u2022\u2212 as well as various aging-associated organ pathologies, such as hepatic carcinoma [2\u2022\u2212 metabolism in intracellular redox regulation.To better understand the intracellular redox regulation, gene modification studies have been performed. Accumulating evidence has demonstrated that arcinoma , fatty larcinoma , accelerarcinoma ,6, macularcinoma ,8, dry earcinoma ,10, hemoarcinoma , osteopearcinoma ,13, skinarcinoma ,15, skelarcinoma , luteal arcinoma , and altarcinoma . SOD1 loarcinoma . Therefo2\u2022\u2212-mediated type that uses oxygen and generates O2\u2022\u2212, while (2) xanthine dehydrogenase (XDH) is an NAD+-mediated type that uses NAD+ as a cofactor and leads to reduced nicotinamide adenine dinucleotide production but not the generation of O2\u2022\u2212 [2\u2022\u2212 production impairs organ integrity under pathological conditions. Since XOR-knockout mice die within six weeks after birth due to renal failure [2\u2022\u2212, but not the XDH-stable-type mice that do not generate O2\u2022\u2212, showed markedly increased tumor growth associated with the activation of macrophages [Mammalian XOR is ubiquitously expressed and catalyzes the conversion of hypoxanthine to xanthine and xanthine to uric acid. XOR can be found in two inter-convertible forms: (1) xanthine oxidase (XO) is an O of O2\u2022\u2212 . These t of O2\u2022\u2212 . Pharmac of O2\u2022\u2212 ,23, hype of O2\u2022\u2212 , and neu of O2\u2022\u2212 . These r failure , it is d failure . The XO-rophages . However2\u2022\u2212 in Sod1\u2212/\u2212 mice, we generated SOD1 and XO-locked type- or XDH-stable-type KI double-mutant mice and investigated the pathological association between XO-produced O2\u2022\u2212 and age-related pathologies caused by SOD1 deficiency. Furthermore, we administered XOR or NOX inhibitors to Sod1-deficient mice and investigated the protective effect of suppression of XO- and NOX-derived O2\u2022\u2212 on the aging-like phenotypes induced by oxidative stress.In the present study, to investigate the pathological significance of XOR-mediated O2\u2022\u2212 in vivo [\u2212/\u2212Sod1 mice, we generated \u2212/\u2212Sod1 XO-locked-type double-mutant mice . As with Sod1\u2212/\u2212 mice, the \u2212/\u2212Sod1 XO-locked-type double-mutant mice also showed reduced red blood cells and splenomegaly to elucidate the pathological role in XO-derived O in vivo ,27. To cant mice . Sod1\u2212/\u2212nomegaly A,B. The \u2212/\u2212 mice C\u2013F.2\u2022\u2212. We, therefore, expected XDH-stable-type mutations to rescue the aging-like phenotypes via reduction of the O2\u2022\u2212-induced oxidative damage in Sod1\u2212/\u2212 mice. To further clarify the protective effect of XDH against aging-like pathologies, we also analyzed the tissue changes in Sod1\u2212/\u2212 XDH-stable-type (C995R) KI double-mutant mice . Unexpectedly, XDH-stable type did not improve the hemolytic anemia associated with the splenomegaly induced by SOD1 deficiency mice, the administration of allopurinol did not change the body weight, suggesting no noticeable adverse effects , an XO inhibitor, via drinking water reduces serum uric acid by 50\u201390% for 2\u201314 weeks ,29,30. A effects A. Sod1\u2212/ WT mice A. Unexpe WT mice B\u2013F.Sod1\u2212/\u2212 male mice. As in female mice, allopurinol did not improve any of these pathologies in Sod1\u2212/\u2212 male mice , an NOX inhibitor, to Sod1\u2212/\u2212 mice. Apocynin treatment also failed to improve the systemic aging pathologies in Sod1\u2212/\u2212 male mice . These data strongly suggest that SOD1 does not physiologically catalyze O2\u2022\u2212 derived from XO, NOX, or NOS. Mitochondria produce ROS, including O2\u2022\u2212, through the electron transport chains of complexes I and III and release O2\u2022\u2212 to both sides of the inner mitochondrial membrane [2\u2022\u2212 in the intermembrane space and cytoplasm. In contrast, mitochondrial SOD2 mainly degrades O2\u2022\u2212 in the mitochondrial matrix. Paraquat generates mitochondrial O2\u2022\u2212 via complex I inhibition, resulting in mitochondrial dysfunction [Sod1\u2212/\u2212 mice [2\u2022\u2212 derived from mitochondria plays a major role in SOD1-mediated metabolism in cytoplasm. Other mechanisms of ROS production have also been reported, such as via cyclooxygenase, Fenton, and Haber\u2013Weiss reactions mainly generating peroxy and hydroxy radicals [The two types of KI mice for XO-locked- or XDH-stable TKI mutations are powerful tools for clarifying the pathological effects of XOR in various tissues. In contrast to the therapeutic effects of allopurinol on the tissue pathologies induced by acute injuries ,23,24,25\u2212/\u2212 mice . We also\u2212/\u2212 mice . In an imembrane . SOD1 ismembrane ,33,34, sfunction . Paraqua\u2212/\u2212 mice , suggestradicals . These rSod1\u2212/\u2212 XOR double-mutant mice should be clarified in future studies. Furthermore, Sod1\u2212/\u2212 mice exhibited various tissue pathologies, including anemia, fatty liver, muscle atrophy, bone loss, and skin atrophy , suggesting alteration of the tumorigenesis profiles by redox imbalance. Neither Sod1\u2212/\u2212 XO-locked-type nor Sod1\u2212/\u2212 XDH-stable-type double-mutant mice exhibited tumor formation in the liver or other tissues at 7\u201312 months of age (data not shown). At older ages, XO-locked- and XDH-stable-type mutations may alter tumorigenesis in Sod1\u2212/\u2212 mice. To clarify the contribution of XOR to tumorigenesis in Sod1\u2212/\u2212 mice, further analyses are needed to characterize the pathogenic macrophages and tumorigenesis in Sod1\u2212/\u2212 XO-locked-type and Sod1\u2212/\u2212 XDH-stable-type double-mutant mice.A high level of ROS leads to the activation of various oncogenic pathways . We preve stages . To clarSod1\u2212/\u2212 mice, suggesting that XOR-mediated O2\u2022\u2212 production contributes relatively little to the aging-like pathologies in Sod1\u2212/\u2212 mice. SOD1 may use O2\u2022\u2212 produced by physiological and biological systems, such as mitochondrial energy production. The production source of O2\u2022\u2212 may affect tissue homeostasis and the optimal therapeutic strategy in ROS-related diseases in humans. Our results provide new insight into the pathophysiological role of O2\u2022\u2212 in oxygen metabolism by SOD and XOR.In conclusion, KI mutations of XOR and inhibitors of XO or NOX did not alter the aging-like pathologies in Sod1\u2212/\u2212 mice were purchased from the Jackson Laboratory . Genotyping of the Sod1\u2212/\u2212 allele was performed via genomic polymerase chain reaction using genomic DNA isolated from the tail tip, as reported previously [eviously . Two Xdheviously , were kiSod1\u2212/\u2212 mice were given 1 mM allopurinol and 2 mg/mL of apocynin in drinking water daily for 8 weeks from 7 weeks of age and 12 weeks of age .The WT and Red blood cells were measured using Celltac a . Bone mineral density of the whole body was measured using a PIXImus instrument . The thickness of the isolated back skin was measured using a PEACOCK dial thickness gauge .p-values were less than 0.05. All data are expressed as the mean \u00b1 standard deviation (SD).Statistical analyses were performed using one-way analysis of variance/Tukey\u2019s test for comparisons of three or more groups. Differences between data were considered significant when"}
+{"text": "Nature Communications 10.1038/s41467-022-28635-8, published online 24 February 2022.Correction to: The original version of this Article contained an error in Fig. 5. The titles for Fig. 5a and Fig. 5g were incorrectly given as \u201cSST ChrimsonR (gain \")\u201d and \u201cSST ChrimsonR (gain !)\u201d instead of \u201cSST ChrimsonR (gain \u2193)\u201d and \u201cSST ChrimsonR (gain \u2191)\u201d, respectively. This has been corrected in the PDF and HTML versions of the Article."}
+{"text": "Scientific Reports 10.1038/s41598-021-90566-z, published online 26 May 2021Correction to: The original version of this Article contained an error in Table 5.The value given for the category \u201cMale\u201d for the \u201cHADS-A\u201d variable, \u201c0.30\u201d, was incorrectly given as \u201c0.00.\u201dThe incorrect and correct values are given below.Incorrect:Correct:The original Article has been corrected."}
+{"text": "Andrenabarbareae , A.clarkella , A.fulvicornis , A.intermedia , A.lapponica , A.pandellei , A.paucisquama , A.simillima , Panurginusherzi , Epeoloidescoecutiens , Nomadaleucophthalma , Chelostomanasutum , Hoplitisclaviventris , and Dasypodapyrotrichia . Almost all the species recorded so far in Serbia belong to the West-Palaearctic biogeographical region, except Megachilesculpturalis , which is an alien invasive species native to East Asia. According to the European Red List of bees, 221 species listed in this paper were assessed as Data Deficient; threatened species mostly belong to the families Apidae with 13 species, Colletidae with eight species, and Halictidae with five species. This study contributes to the knowledge of the distribution of bee species in Europe. The present work provides a baseline for future research of wild bee diversity in Serbia and neighbouring regions at the local and regional levels, and a basis for their conservation.The current work represents summarised data on the bee fauna in Serbia from previous publications, collections, and field data in the period from 1890 to 2020. A total of 706 species from all six of the globally widespread bee families is recorded; of the total number of recorded species, 314 have been confirmed by determination, while 392 species are from published data. Fourteen species, collected in the last three years, are the first published records of these taxa from Serbia: Hymenoptera: Apoidea: Anthophila in the Balkan countries derives from the late 19th century, from the period of the Austro-Hungarian Empire. At that time, scientists were collecting data on the wild bee fauna while travelling through the area of today\u2019s Balkan countries, or they researched parts of the countries where they lived. The borders and names of the Balkan countries have changed several times since then. Therefore, in the present paper, the localities are shown within the current borders of the Republic of Serbia.The first available data on the faunistic research of Apoidea. The most reliable and comprehensive publication on the bee fauna of Serbia was published by Hymenoptera: Apoidea: Anthophila of Yugoslavia, including new data on bee fauna and sites for 114 bee species, which were recorded in Serbia. The earliest publication, which provided the data on the bee fauna of Serbia is by Lasioglossummarginatum , L.interruptum ), L.malachurum ), H.sajoi , H.maculatus , H.asperulus , Seladoniakessleri , Osmiabicornis Linnaeus, 1758, O.bicolor , O.rufohirta , O.bidentata , Xylocopaviolacea , X.valga , X.iris Christ, 1791 , Bombuspascuorum Scopoli, 1763 ), Apismellifera , Anthophoraplumipes Pallas, 1772 ), A.plagiata Illiger, 1806 ), A.salviae , A.pubescens , Eucera lyncea ), Eucera nana ), Systrophaplanidens , S.curvicornis , Euceraexcisa , Megachileericetorum , and Ceratina spp. , H.quadricinctus , H.scabiosae , Megachilealbisecta Klug, 1817 , Anthophoraplagiata (as A.parietina), and A.salviae (as A.crinipes) . Grozdani\u0107 and Mu\u010dalica researched the fauna of Hymenoptera across former Yugoslavia; Mu\u010dalica collected insects for 33 years (1965\u20131997) in the area of Serbia and Grozdani\u0107 collected insects in the period from 1963 to 1972. Both collections are preserved in the Natural History Museum in Belgrade. The present paper lists 181 bee species recorded in Serbia by the above authors. Kruni\u0107 studied two important wild bee pollinators of Serbian orchards, namely Osmiacornuta and O.bicornis ) in all aspects of their life history such as diapause, overwintering, distribution, population management, etc. (Osmiacornuta and O.bicornis (as O.rufa), from the environmental, conservation, morphology, and management aspects (Megachilidae family of Fru\u0161ka Gora. Stanisavljevi\u0107 and Tomovi\u0107 (2006) presented the results of alfalfa seed production with the use of Megachilerotundata in Serbian agricultural farms. Mudri-Stojni\u0107 studied bee fauna in agro-ecosystems of Vojvodina province from 2011. Markov studied bee fauna in protected areas of Vojvodina province , b. Mu\u010darinipes) , 1997. Mnt, etc. \u2013d. The os, 1793) , 1997. K aspects , b, 2013province and theiprovince . \u0110uki\u0107 sThe importance of bees in terrestrial ecosystems, as well as their ecosystem role in the process of pollination of agricultural crops and wild plants, is widely known. In many European countries, Red Data Books or Red Lists of bees have been produced at the national level. Some European countries have developed specific national actions in order to enhance bee populations and to arrest decline, introduced legislation with the aim of legally protecting all or some species of bees, and/or produced checklists of bees. For some Balkan countries, such as Serbia, data on the diversity of bees are scarce. Among the reasons for such a situation are an insufficient number of wild bee experts and the absence of proper collections. Up-to-date entomological research programmes of wild bees have not been spatially systematic, so certain areas of Serbia have been studied more, while others less. Although there is clear evidence of a decline in pollinators diversity and abundance across Europe , there aThe present study summarises for the first time all the available records of species of wild bees in Serbia. This paper is not intended as a national checklist of bees, since there are undoubtedly more species yet to be found. The aims of this study are: 1) to review the records on the bee fauna, according to bibliographic sources known to the authors, 2) to present some more recent observations, and finally 3) to provide an updated preliminary list of the species of bees occurring in Serbia. The major purpose of this article is to broaden the knowledge of bee diversity in Serbia and pave the way for future research of wild bee fauna at local and regional levels. Another important aim is to improve an understanding of the status and trends of European pollinators.Serbia is situated in central and southeast Europe, mostly in the central Balkan peninsula, while its northern part spreads over the southern belt of the Pannonian Plain. The country\u2019s total area is 88,361 km\u00b2 . The main geographic units in Serbia are the Pannonian Region in the north, which covers a third of the country, the Peripannonian Region in the central part of the country, which chiefly consists of hills traversed by rivers, and the mountain and basin region which are dominant in the south. The Carpathian Mountains and the Balkan Mountains stretch in the north-south direction through east Serbia. The Dinaric Arc stretches in the west and southwest. The climate of Serbia is under the influences of the landmass of Eurasia, the Atlantic Ocean, and the Mediterranean Sea. It classifies as a warm-humid continental or humid subtropical climate. In the north of the country, the climate is more continental, whereas south and southeast Serbia are influenced by the Mediterranean climate . In the ASCI; 42 Important Bird Areas \u2013 IBA; 61 Important Plant Areas \u2013 IPA; 40 Prime Butterfly Areas \u2013 PBA; ten Ramsar sites. The ecological network also includes other spaces and places that have yet to be spatially identified . Agricultural production on annual crops is mostly present in the Pannonian Plain. Serbia produces various agricultural products, mostly grains, fruits, and vegetables. According to the FAOSTAT, Serbia is among the top five world producers of raspberries and plums, which are mainly produced in the southwest. Agricultural landscapes occupy 63.7% of the territory .Serbia is a country with a number of rich ecosystems, and species diversity of many groups of organisms is high and contributes to a significant part of Europe\u2019s biodiversity. According to previous research, in the territory of the Republic of Serbia there are: 39% of the European vascular flora, 74% of the European bird fauna, 67% of the European mammal fauna, 51% of the European fish fauna, and 49% of the European reptile and amphibian fauna . ConservHymenoptera: Apoidea: Anthophila) by This paper represents a list of bee species in Serbia based on the compiled data known to the authors, gathered from available entomological collections and literature sources between 1890 and 2020, and our own faunistic studies in the decade 2010\u20132020. Therefore, it includes previously published and unpublished data, supplied by different specialists, as well as some recent records from the authors of this paper. In total, more than 100 publications were examined for relevant records. Additionally, the present list was based on reviewing a database from the online Checklist of Western Palaearctic Bees ;AZ coll. Aleksandra Zatezalo collection of the Institute for Nature Conservation of Serbia, Belgrade, Serbia (determined by Zsolt J\u00f3zan);FSUNSDepartment of Biology and Ecology, Faculty of Sciences, University of Novi Sad, Novi Sad, Serbia;SG coll. Simeun Grozdani\u0107 collection of the NHMB , Serbia;ZM coll. Zoran Mu\u010dalica collection of the NHMB, Serbia.FSUNS. The material from the FSUNS entomological collection were determined by Zsolt J\u00f3zan. The cited Andrena and Bombus were not published in the paper by Halictus sensu lato species), and V. Popov (Bombus species). This collection was destroyed during World War II. The publication by The cited PhD thesis of A map of Serbia Fig. shows thth century are marked with an asterisk (*). Among the species confirmed by determination of studied material, examined specimens are marked with the double oblique hyphen (\u2e17) and non-marked species represent records based only on literature data. The black small squares (\u25aa) mark species for which the only source of occurrence in Serbia is the Checklist of the Western Palaearctic Bees . Data about the new material examined are given for the specimens that represent the first published records of species for Serbia.tic Bees . At the Apidae 226 species (91/135), Megachilidae 148 species (62/86), Halictidae 138 species (73/65), Andrenidae 112 species (68/44), Colletidae 69 species (14/55), and Mellitidae 13 species (6/7). The present list includes 14 species with no previously published records for Serbia: Andrenabarbareae , A.clarkella , A.fulvicornis , A.intermedia , A.lapponica , A.pandellei , A.paucisquama , A.simillima , Panurginusherzi , Epeoloidescoecutiens , Nomadaleucophthalma , Chelostomanasutum , Hoplitisclaviventris , and Dasypodapyrotrichia .The list of bees in Serbia presented consists of six families, 58 genera, and 706 species, recorded during the past 130 years. Of the total number of the recorded species, 314 have been confirmed by determination, while 392 species are from literature data. The reported families with the numbers of species (confirmed by determination/based only on literature data) are: The diversity and proportional representation of bee families are given in Table Andrena Fabricius, 1775 (104 species)\u25aa Andrena aberrans Eversmann, 1852 in Kuhlmann et al. (2020). [NT]\u2e17 Andrena aeneiventris Morawitz, 1872 in Kuhlmann et al. (2020); Mudri-Stojni\u0107 (2018); Markov (2017); Markov et al. (2016); Vorgin (1955); Mocs\u00e1ry (1897). [LC]* Andrena albopunctata in Mocs\u00e1ry (1897); as Andrena funebris in Korlevi\u0107 (1890). [LC]\u2e17 Andrena alfkenella Perkins, 1914 in Mudri-Stojni\u0107 (2018); Lebedev (1931). [DD]Andrena argentata Smith, 1844 in Vorgin (1955); Mocs\u00e1ry (1897). [DD]Andrena atrata Friese, 1887 in Vorgin (1918); Mocs\u00e1ry (1897); as Andrena bicarinata in Vorgin (1955); Lebedev (1931). [DD]\u2e17 Andrena barbareae Panzer, 1805 New material examined: 1 \u2640; Vlasina, Veliki \u010cemernik; 42.7368\u00b0N, 22.2723\u00b0E; 25 May 2019; M. Vuji\u0107 leg.; Andrej Gogala det.; A\u0110 coll. 1 \u2640; Vlasina, Vrtop; 42.7904\u00b0N, 22.372\u00b0E; 20 Jul. 2019; A. \u0110uki\u0107 leg.; Andrej Gogala det.; A\u0110 coll. [DD]Andrena barbilabris as Andrena sericea Smith, 1791 in Vorgin (1955); as Andrena albicrus in Mocs\u00e1ry (1897). [DD]\u2e17 Andrena bicolor Fabricius, 1775 in Kuhlmann et al. (2020); as Andrena gwynana in \u017divojinovi\u0107 (1950); Lebedev (1931); A\u0110 coll [LC]Andrena bimaculata in Kuhlmann et al. (2020); \u017divojinovi\u0107 (1950); Lebedev (1931). [DD]Andrena brumanensis Friese, 1899 in Kuhlmann et al. (2020); as Andrena clypeata Brull\u00e9, 1832 in \u017divojinovi\u0107 (1950). [LC]Andrena bucephala Stephens, 1846 in Kuhlmann et al. (2020); \u017divojinovi\u0107 (1950); Lebedev (1931). [DD]\u2e17 Andrena carantonica P\u00e9rez, 1902 in Kuhlmann et al. (2020); Markov (2017); Markov et al. (2016); ZM coll.; as Andrena jacobi Perkins, 1921 in Lebedev (1931). [DD]\u2e17 Andrena chrysopyga Schenck, 1853 in Kuhlmann et al. (2020); Vorgin ; Lebedev (1931); ZM coll. [DD]\u25aa Andrena cineraria in Kuhlmann et al. (2020). [LC]\u2e17 Andrena clarkella New material examined: 1 \u2640; Vlasina Rid; 42.7253\u00b0N, 22.3284\u00b0E; 21 Jul. 2019; A. \u0110uki\u0107 leg.; Andrej Gogala det.; A\u0110 coll. [DD]* Andrena coitana as Andrena shawella in Mocs\u00e1ry (1897). [DD]Andrena colletiformis Morawitz, 1874 in Kuhlmann et al. (2020); Apfelbeck (1896). [DD]\u2e17 Andrena combaella Warncke, 1966 in Mudri-Stojni\u0107 (2018). [DD]\u2e17 Andrena combinata in Kuhlmann et al. (2020); Lebedev (1931); Mocs\u00e1ry (1897); Apfelbeck (1896); ZM coll. [DD]\u25aa Andrena comta Eversmann, 1852 in Kuhlmann et al. (2020). [EN]\u2e17 Andrena confinis St\u00f6ckhert, 1930 in Markov (2017); Markov et al. (2016); \u017divojinovi\u0107 (1950).\u2e17 Andrena congruens Schmiedeknecht, 1884 in Kuhlmann et al. (2020); A\u0110 coll. [LC]\u2e17 Andrena cordialis Morawitz, 1877 in Kuhlmann et al. (2020); Markov (2017); Markov et al. (2016). [DD]\u2e17 Andrena curvana Warncke, 1965 in Markov (2017); Markov et al. (2016). [DD]\u25aa Andrena decipiens Schenck, 1861 in Kuhlmann et al. (2020). [DD]Andrena denticulata in Lebedev (1931). [DD]\u2e17 Andrena dorsalis Brull\u00e9, 1832 in Kuhlmann et al. (2020); ZM coll. [DD]Andrena dorsata in Kuhlmann et al. (2020); \u017divojinovi\u0107 (1950); Lebedev (1931); as Andrena dubitata Schenck, 1870 in Vorgin (1955); Apfelbeck (1896). [DD]Andrena erythrocnemis Morawitz, 1870 in Lebedev (1931); Mocs\u00e1ry (1897). [DD]* Andrena fimbriata Brull\u00e9, 1832 in Mocs\u00e1ry (1897). [DD]\u2e17 Andrena flavipes Panzer, 1799 in Kuhlmann et al. (2020); Mudri-Stojni\u0107 (2018); Markov (2017); Markov et al. (2016); Mudri-Stojni\u0107 et al. (2012); Grozdani\u0107 (1971b); Vorgin (1955); \u017divojinovi\u0107 (1950); Lebedev (1931); AZ coll.; ZM coll.; also as Andrena extricata Smith, 1849 in Apfelbeck (1896); as Andrena extricata in Mocs\u00e1ry (1897); Korlevi\u0107 (1890); as Andrena fulvicrus Dufour, 1841 in Petrik (1958). [LC]\u2e17 Andrena florea Fabricius, 1793 in Kuhlmann et al. (2020); Markov (2017); Markov et al. (2016); Apfelbeck (1896); as Andrena rosae var. austriaca Schmied. in \u017divojinovi\u0107 (1950); as Andrena austriaca Panzer, 1798 in Mocs\u00e1ry (1897). [DD]\u2e17 Andrena fulvago in Kuhlmann et al. (2020); Mudri-Stojni\u0107 (2018); Markov (2017); Markov et al. (2016); Mudri-Stojni\u0107 et al. (2012); Vorgin (1955); Lebedev (1931). [DD]\u2e17 Andrena fulvicornis Schenck, 1853 New material examined: 1 \u2640; Beo\u010din, Fru\u0161ka gora, \u010casorske livade; 45.1894\u00b0N, 19.7451\u00b0E; 15 Jun. 2018; S. Mudri-Stojni\u0107 leg.; Zsolt J\u00f3zan det.; FSUNS. [DD]* Andrena fuscosa Erichson, 1835 as Andrena ephippium Spinola, 1838 in Mocs\u00e1ry (1897). [DD]\u2e17 Andrena gelriae van der Vecht, 1927 in Markov (2017); Markov et al. (2016); AZ coll. [DD]\u2e17 Andrena gravida Imhoff, 1832 in Kuhlmann et al. (2020); Lebedev (1931); A\u0110 coll.; AZ coll.; ZM coll. [DD]Andrena grozdanici Osytshnjuk, 1975 in Kuhlmann et al. (2020); Mu\u010dalica (1984). [DD]\u2e17 Andrena haemorrhoa in Kuhlmann et al. (2020); A\u0110 coll.; AZ coll.; as Andrena albicans auct. nec M\u00fcller in \u017divojinovi\u0107 (1950); Lebedev (1931). [LC]\u2e17 Andrena hattorfiana in Kuhlmann et al. (2020); Mudri-Stojni\u0107 (2018); Markov (2017); Markov et al. (2016); Mudri-Stojni\u0107 et al. (2012); Lebedev (1931); Vorgin (1918); Mocs\u00e1ry (1897); Apfelbeck (1896); A\u0110 coll. [NT]Andrena hedikae Jaeger, 1934 in Kuhlmann et al. (2020); Vorgin (1955). [DD]\u2e17 Andrena humilis Imhoff, 1832 in Kuhlmann et al. (2020); Lebedev (1931); in Apfelbeck (1896); A\u0110 coll.; as Andrena fulvescens Smith, 1847 in Vorgin . [DD]\u25aa Andrena hungarica Friese, 1887 in Kuhlmann et al. (2020). [DD]Andrena hypopolia Schmiedeknecht, 1884 in Kuhlmann et al. (2020); Vorgin ; Mocs\u00e1ry (1897); Korlevi\u0107 (1890). [DD]\u2e17 Andrena impunctata P\u00e9rez, 1895 in Kuhlmann et al. (2020); Markov (2017); Markov et al. (2016). [LC]\u2e17 Andrena intermedia Thomson, 1870 New material examined: 1 \u2640; Vlasina, Veliki \u010cemernik; 42.7368\u00b0N, 22.2723\u00b0E; 21 Jul. 2019; M. Vuji\u0107 leg.; Andrej Gogala det.; A\u0110 coll. [LC]\u2e17 Andrena labialis in Kuhlmann et al. (2020); Mudri-Stojni\u0107 (2018); Markov (2017); Markov et al. (2016); Grozdani\u0107 (1970); Vorgin ; \u017divojinovi\u0107 (1950); Lebedev (1931); Mocs\u00e1ry (1897); Apfelbeck (1896); AZ coll.; ZM coll. [DD]\u2e17 Andrena labiata Fabricius, 1781 in Lebedev (1931); ZM coll. [DD]\u25aa Andrena lagopus Latreille, 1809 in Kuhlmann et al. (2020). [LC]\u2e17 Andrena lapponica Zetterstedt, 1838 New material examined: 1 \u2640; Vlasina, Gad\u017eini; 42.7378\u00b0N, 22.3042\u00b0E; 25 May 2019; A. \u0110uki\u0107 leg.; Andrej Gogala det.; A\u0110 coll. [LC]\u2e17 Andrena lathyri Alfken, 1899 in Kuhlmann et al. (2020); Grozdani\u0107 (1970); ZM coll. [DD]\u2e17 Andrena limata Smith, 1853 in Mudri-Stojni\u0107 (2018); as Andrena pectoralis Schmiedeknecht, 1883 in Vorgin (1955); Mocs\u00e1ry (1897); Korlevi\u0107 (1890). [DD]Andrena limbata Eversmann, 1852 in Lebedev (1931). [DD]Andrena marginata Fabricius, 1776 in Kuhlmann et al. (2020); Lebedev (1931); Mocs\u00e1ry (1897). [DD]\u25aa Andrena mehelyi Alfken, 1936 in Kuhlmann et al. (2020). [DD]\u2e17 Andrena minutula in Kuhlmann et al. (2020); Markov (2017); Markov et al. (2016); Lebedev (1931); A\u0110 coll.; as Andrena parvula in Apfelbeck (1896). [DD]\u2e17 Andrena minutuloides Perkins, 1914 in Kuhlmann et al. (2020); Mudri-Stojni\u0107 (2018); Markov (2017); Markov et al. (2016); Lebedev (1931). [DD]\u2e17 Andrena mocsaryi Schmiedeknecht, 1884 in Markov (2017); Markov et al. (2016). [LC]Andrena morio Brull\u00e9, 1832 in Kuhlmann et al. (2020); Petrik (1958); Vorgin (1955); Lebedev (1931); Mocs\u00e1ry (1897); Apfelbeck (1896). [DD]\u2e17 Andrena nasuta Giraud, 1863 in Mudri-Stojni\u0107 (2018); Markov (2017); Markov et al. (2016); Mudri-Stojni\u0107 et al. (2012); Vorgin (1918); Mocs\u00e1ry (1897). [DD]Andrena nigroaenea in Kuhlmann et al. (2020); Vorgin (1955). [LC]\u2e17 Andrena nitida in Kuhlmann et al. (2020); Vorgin (1955); Mocs\u00e1ry (1897); A\u0110 coll. [LC]\u2e17 Andrena nitidiuscula Schenck, 1853 in Kuhlmann et al. (2020); Mudri-Stojni\u0107 (2018); Markov et al. (2016); Mudri-Stojni\u0107 et al. (2012); Mocs\u00e1ry (1897); as Andrena lucens Imhoff, 1868 in Vorgin ; Korlevi\u0107 (1890). [LC]\u25aa Andrena niveata Friese, 1887 in Kuhlmann et al. (2020). [DD]Andrena nobilis Morawitz, 1874 in Kuhlmann et al. (2020); Vorgin (1955). [DD]\u2e17 Andrena oralis Morawitz, 1876 in Markov (2017); Markov et al. (2016); Vorgin (1955). [DD]\u2e17 Andrena ovatula in Kuhlmann et al. (2020); Mudri-Stojni\u0107 (2018); Markov (2017); Markov et al. (2016); Mudri-Stojni\u0107 et al. (2012); \u017divojinovi\u0107 (1950); AZ coll.; also as Andrena albofasciata Thomson, 1871 in Lebedev (1931); as Andrena afzeliella in Petrik (1958). [NT]\u2e17 Andrena pandellei P\u00e9rez, 1895 New material examined: 1 \u2642; Novi Sad, Kameni\u010dki park; 45.2299\u00b0N, 19.8518\u00b0E; 20 Jun. 2018; A. \u0110uki\u0107 leg.; Zsolt J\u00f3zan det.; A\u0110 coll. [LC]\u2e17 Andrena paucisquama Noskiewicz, 1924 New material examined: 1 \u2640; Fru\u0161ka gora, Manastir Grgeteg; 45.1383\u00b0N, 19.9044\u00b0E; 20 May 2018; S. Mudri-Stojni\u0107 leg.; Zsolt J\u00f3zan det.; FSUNS. [DD]\u2e17 Andrena pilipes Fabricius, 1781 in Kuhlmann et al. (2020); Petrik (1958); Vorgin (1918); Korlevi\u0107 (1890); ZM coll.; as Andrena carbonaria in Vorgin (1955); Lebedev (1931); Mocs\u00e1ry (1897); Apfelbeck (1896). [LC]\u2e17 Andrena polita Smith, 1847 in Kuhlmann et al. (2020); Mudri-Stojni\u0107 (2018); Markov (2017); Markov et al. (2016); Mudri-Stojni\u0107 et al. (2012); Lebedev (1931). [LC]\u2e17 Andrena potentillae Panzer, 1809 in ZM coll. [DD]\u2e17 Andrena propinqua Schenck, 1853 in Kuhlmann et al. (2020); Lebedev (1931); Mocs\u00e1ry (1897); ZM coll. [DD]\u2e17 Andrena proxima in Kuhlmann et al. (2020); Markov (2017); Markov et al. (2016); Vorgin (1955); \u017divojinovi\u0107 (1950); Lebedev (1931); Apfelbeck (1896). [DD]* Andrena pyropygia Kriechbaumer, 1873 in Mocs\u00e1ry (1897). [LC]\u2e17 Andrena rhenana Stoeckhert, 1930 in ZM coll. [DD]\u2e17 Andrena rosae Panzer, 1801 in Kuhlmann et al. (2020); Mudri-Stojni\u0107 (2018); Markov (2017); Markov et al. (2016); Mudri-Stojni\u0107 et al. (2012); Lebedev (1931). [DD]\u25aa Andrena rufula Schmiedeknecht, 1883 in Kuhlmann et al. (2020). [LC]\u25aa Andrena schencki Morawitz, 1866 in Kuhlmann et al. (2020). [DD]\u25aa Andrena schlettereri Friese, 1896 in Kuhlmann et al. (2020). [DD]Andrena scita Eversmann, 1852 in Kuhlmann et al. (2020); Vorgin ; Mocs\u00e1ry (1897); Apfelbeck (1896). [DD]\u2e17 Andrena seminuda Friese, 1896 in Kuhlmann et al. (2020); Markov (2017); Markov et al. (2016); as Andrena setigera Alfken, 1911 in Vorgin (1955). [DD]Andrena sericata Imhoff, 1868 in Kuhlmann et al. (2020); Apfelbeck (1896). [DD]\u2e17 Andrena simillima Smith, 1851 New material examined: 1 \u2640; Vlasina, Delnice-Ljote; 42.6933\u00b0N, 22.3176\u00b0E; 22 Jul. 2019; A. \u0110uki\u0107 leg.; Andrej Gogala det.; A\u0110 coll. [LC]\u2e17 Andrena simontornyella Noskiewicz, 1939 in Kuhlmann et al. (2020); Markov (2017); Markov et al. (2016). [LC]\u2e17 Andrena subopaca Nylander, 1848 in Lebedev (1931); A\u0110 coll. [LC]\u2e17 Andrena suerinensis Perkins 1914 in ZM coll. [DD]\u2e17 Andrena symphyti Schmiedeknecht, 1883 in Markov (2017); Markov et al. (2016); AZ coll.; ZM coll. [DD]\u2e17 Andrena taraxaci Giraud, 1861 in Kuhlmann et al. (2020); Mudri-Stojni\u0107 (2018); Schwenninger (2015); Grozdani\u0107 (1971b); Grozdani\u0107 and Vasi\u0107 (1965c); Vorgin (1955); Lebedev (1931); ZM coll. [DD]\u2e17 Andrena tarsata Nylander, 1848 in Vorgin (1918); ZM coll. [DD]\u2e17 Andrena thoracica in Mudri-Stojni\u0107 (2018); Vorgin (1955); Lebedev (1931); Mocs\u00e1ry (1897); Apfelbeck (1896). [DD]\u2e17 Andrena tibialis in Kuhlmann et al. (2020); Mudri-Stojni\u0107 (2018); Vorgin (1955); Apfelbeck (1896). [LC]\u2e17 Andrena trimmerana in Lebedev (1931); ZM coll. [DD]Andrena truncatilabris Morawitz, 1877 in Kuhlmann et al. (2020); Vorgin ; Lebedev (1931); Mocs\u00e1ry (1897); Apfelbeck (1896). [DD]\u2e17 Andrena ungeri Mavromoustakis, 1952 in Kuhlmann et al. (2020); Mudri-Stojni\u0107 (2018); Markov (2017); Mudri-Stojni\u0107 et al. (2012). [LC]\u2e17 Andrena vaga Panzer, 1799 in Lebedev (1931); ZM coll. [LC]\u2e17 Andrena variabilis Smith, 1853 in Kuhlmann et al. (2020); Markov (2017); Markov et al. (2016); Vorgin (1955); Lebedev (1931); AZ coll. [DD]Andrena varians in Lebedev (1931); Vorgin (1955). [LC]Andrena ventralis Imhoff, 1832 in Kuhlmann et al. (2020); Lebedev (1931). [DD]\u2e17 Andrena ventricosa Dours, 1873 in Markov (2017); Markov et al. (2016); Vorgin (1918). [DD]\u2e17 Andrena viridescens Viereck, 1916 in Lebedev (1931); ZM coll. [DD]Andrena wilkella in Vorgin (1955); as Andrena convexiuscula Kirby, 1802 in Petrik (1958); Mocs\u00e1ry (1897); Apfelbeck (1896). [DD]Camptopoeum Spinola, 1843 (2 species)\u2e17 Camptopoeum frontale Fabricius 1804 in Kuhlmann et al. (2020); Mudri-Stojni\u0107 (2018); Mudri-Stojni\u0107 et al. (2012); Rafajlovi\u0107 and Sele\u0161i (1958); Vorgin (1918); Mocs\u00e1ry (1897). [DD]Camptopoeum friesei Mocs\u00e1ry 1894 in Grozdani\u0107 (1971b); Rafajlovi\u0107 and Sele\u0161i (1958); \u017divojinovi\u0107 (1950); Mocs\u00e1ry (1897). [LC]Clavipanurgus Warncke, 1972 (1 species)\u25aa Clavipanurgus sculpturatus Morawitz 1872 in Kuhlmann et al. (2020). [DD]Melitturga Latreille, 1809 (1 species)\u2e17 Melitturga clavicornis Latreille 1808 in Kuhlmann et al. (2020); Mudri-Stojni\u0107 (2018); Markov (2017); Markov et al. (2016); Mudri-Stojni\u0107 et al. (2012); Petrik (1958); Mocs\u00e1ry (1897). [NT]Panurginus Nylander, 1848 (2 species)Panurginus labiatus Eversmann 1852 in Kuhlmann et al. (2020); Lebedev (1931). [DD]\u2e17 Panurginus herzi Morawitz, 1892 New material examined: 1 \u2640; Vlasina, Vrtop; 42.7904\u00b0N, 22.372\u00b0E; 20 Jul. 2019; A. \u0110uki\u0107 leg.; Andrej Gogala det.; A\u0110 coll. 1 \u2640; Vlasina Rid; 42.7253\u00b0N, 22.3284\u00b0E; 22\u201323 Jul. 2019; A. \u0110uki\u0107 leg.; Andrej Gogala det.; A\u0110 coll. [DD]Panurgus Panzer, 1806 (2 species)\u2e17 Panurgus banksianus Kirby 1802 in Kuhlmann et al. (2020); A\u0110 coll.; ZM coll. [LC]\u2e17 Panurgus calcaratus Scopoli, 1763 in Kuhlmann et al. (2020); Mudri-Stojni\u0107 (2018); Markov (2017); Markov et al. (2016); Rafajlovi\u0107 and Sele\u0161i (1958); \u017divojinovi\u0107 (1950); Lebedev (1931); Mocs\u00e1ry (1897); Apfelbeck (1896); A\u0110 coll.; as Panurgus lobatus in Petrik (1958). [LC]Amegilla Friese, 1897 (5 species)\u2e17 Amegilla albigena Lepeletier, 1841 in Kuhlmann et al. (2020); ZM coll.; as Anthophora albigena Lepeletier, 1841 in Rafajlovi\u0107 and Sele\u0161i (1958); Vorgin ; Mocs\u00e1ry (1897). [LC]\u2e17 Amegilla garrula Rossi, 1790 in Kuhlmann et al. (2020); Markov (2017); Markov et al. (2016); as Anthophora garrula Rossi, 1790 in Rafajlovi\u0107 and Sele\u0161i (1958); \u017divojinovi\u0107 (1950); as Anthophora garrulus in Mocs\u00e1ry (1897). [LC]Amegilla magnilabris (Fedtschenko 1875) as Anthophora magnilabris Fedtschenko, 1875 in Rafajlovi\u0107 and Sele\u0161i (1958); Mocs\u00e1ry (1897). [DD]\u2e17 Amegilla quadrifasciata de Villers, 1789 in Kuhlmann et al. (2020); Mudri-Stojni\u0107 (2018); Mudri-Stojni\u0107 et al. (2012); Stanisavljevi\u0107 (2000); ZM coll.; as Anthophora quadrifasciata in Petrik (1958); Rafajlovi\u0107 and Sele\u0161i (1958); Lebedev (1931); as Anthophora quadrifasciatus in Mocs\u00e1ry (1897). [DD]\u2e17 Amegilla salviae Morawitz, 1876 in Kuhlmann et al. (2020); ZM coll. [DD]Ammobatoides Radoszkowski, 1867 (1 species)\u2e17 Ammobatoides abdominalis in ZM coll. [EN]Ammobates Latreille, 1809 (2 species)* Ammobates punctatus in Mocs\u00e1ry (1897). [LC]* Ammobates vinctus Gerst\u00e4cker, 1869 in Mocs\u00e1ry (1897). [LC]Anthophora Latreille, 1803 (18 species)Anthophora aestivalis Panzer 1801 in Kuhlmann et al. (2020); Lebedev (1931). [LC]\u25aa Anthophora atroalba Lepeletier 1841 in Kuhlmann et al. (2020). [DD]\u2e17 Anthophora bimaculata Panzer, 1798 in Kuhlmann et al. (2020); Rafajlovi\u0107 and Sele\u0161i (1958); Lebedev (1931); Vorgin (1918); ZM coll.; as Saropoda bimaculata in Petrik (1958); as Anthophora bimaculatus in Mocs\u00e1ry (1897). [LC]\u25aa Anthophora canescens Brull\u00e9 1832 in Kuhlmann et al. (2020). [DD]Anthophora crassipes Lepeletier, 1841 in Lebedev (1931). [DD]\u25aa Anthophora dalmatica P\u00e9rez 1902 in Kuhlmann et al. (2020). [DD]\u25aa Anthophora dufourii Lepeletier 1841 in Kuhlmann et al. (2020). [DD]\u2e17 Anthophora fulvitarsis Brull\u00e9 1832 in ZM coll. [DD]\u2e17 Anthophora furcata Panzer, 1798 in Kuhlmann et al. (2020); Markov (2017); Markov et al. (2016); Rafajlovi\u0107 and Sele\u0161i (1958); Lebedev (1931); A\u0110 coll.; ZM coll.; as Anthophora furcatus in Mocs\u00e1ry (1897). [LC]\u25aa Anthophora orientalis Morawitz 1877 in Kuhlmann et al. (2020). [DD]\u2e17 Anthophora plagiata Illiger, 1806 in Kuhlmann et al. (2020); as Anthophora parietina in Mu\u010dalica ; Grozdani\u0107 (1971b); Grozdani\u0107 and Stevanovi\u0107 (1965); Grozdani\u0107 and Vasi\u0107 (1965b); Rafajlovi\u0107 and Sele\u0161i (1958); Vorgin (1918); ZM coll.; Anthophora parietinus in Mocs\u00e1ry (1897). [LC]\u2e17 Anthophora plumipes Pallas, 1772 in Kuhlmann et al. (2020); Markov (2017); Markov et al. (2016); A\u0110 coll.; ZM coll.; as Anthophora acervorum in Grozdani\u0107 (1971b); Grozdani\u0107 and Vasi\u0107 ; Rafajlovi\u0107 and Sele\u0161i (1958); \u017divojinovi\u0107 (1950); Lebedev (1931). [LC]Anthophora podagra Lepeletier, 1841 in Kuhlmann et al. (2020); as Anthophora podagrus in Mocs\u00e1ry (1897). [DD]\u2e17 Anthophora pubescens Fabricius 1781 in Kuhlmann et al. (2020); Grozdani\u0107 and Radivojevi\u0107 (1972); Grozdani\u0107 (1971b); Rafajlovi\u0107 and Sele\u0161i (1958); Lebedev (1931); Mocs\u00e1ry (1897); SG coll. [DD]Anthophora quadrimaculata Panzer, 1798 in Kuhlmann et al. (2020); as Anthophora vulpina in Rafajlovi\u0107 and Sele\u0161i (1958); as Anthophora vulpinusMocs\u00e1ry (1897). [DD]\u2e17 Anthophora retusa Linnaeus, 1758 in Kuhlmann et al. (2020); Rafajlovi\u0107 and Sele\u0161i (1958); Lebedev (1931); ZM coll.; as Anthophora retusus in Mocs\u00e1ry (1897). [LC]\u25aa Anthophora robusta Klug 1845 in Kuhlmann et al. (2020). [DD]\u2e17 Anthophora salviae in Kuhlmann et al. (2020); Vorgin ; Lebedev (1931); Mocs\u00e1ry (1897); Korlevi\u0107 (1890); also as Anthophora crinipes Smith, 1854 in Rafajlovi\u0107 and Sele\u0161i (1958); as Anthophora crin ipes in Markov (2017); Markov et al. (2016); Mu\u010dalica ; Grozdani\u0107 (1971b); Grozdani\u0107 and Mu\u010dalica (1969); Grozdani\u0107 and Vasi\u0107 ; A\u0110 coll.; ZM coll. [DD]Apis Linnaeus, 1768 (1 species)\u2e17 Apis mellifera Linnaeus 1758 in Kuhlmann et al. (2020); Mudri-Stojni\u0107 (2018); Markov (2017); Markov et al. (2016); Mudri-Stojni\u0107 et al. (2012); Kulin\u010devi\u0107 et al. (1997); Kruni\u0107 ; Grozdani\u0107 ; Grozdani\u0107 and Vasi\u0107 (1966a); Petrik (1958); Vlatkovi\u0107 (1957); \u017divojinovi\u0107 (1950); Mocs\u00e1ry (1897); Apfelbeck (1896); A\u0110 coll.; ZM coll. [DD]Biastes Panzer, 1806 (3 species)\u2e17 Biastes brevicornis in Petrik (1958); Rafajlovi\u0107 and Sele\u0161i (1958); Mocs\u00e1ry (1897); Apfelbeck (1896); SG coll. [LC]Biastes emarginatus in Vorgin (1918). [LC]\u25aa Biastes truncatus in Kuhlmann et al. (2020). [VU]Bombus Latreille, 1802 (47 species)\u2e17 Bombus argillaceus in Kuhlmann et al. (2020); Mudri-Stojni\u0107 (2018); Markov (2017); Markov et al. (2016); Rasmont et al. (2015); Grozdani\u0107 ; Grozdani\u0107 and Vasi\u0107 (1965c); Grozdani\u0107 and \u010colovi\u0107 (1955b); Lebedev (1931); ZM coll. [LC]\u25aa Bombus armeniacus Radoszkowski, 1877 in Kuhlmann et al. (2020). [EN]\u2e17 Bombus barbutellus Kirby, 1802 in Kuhlmann et al. (2020); Rasmont et al. (2015); SG coll.; as Psithyrus barbutellus in Grozdani\u0107 and Vasi\u0107 (1966a); Vorgin (1955); Mocs\u00e1ry (1897). [LC]Bombus bohemicus Seidl, 1838 in Kuhlmann et al. (2020); Rasmont et al. (2015). [LC]\u2e17 Bombus campestris Panzer, 1801 in Kuhlmann et al. (2020); Rasmont et al. (2015); A\u0110 coll; as Psithyrus campestris f. francisanus K. and also as Psithyrus campestris f. rosiellus K. in Vorgin (1955). [LC]Bombus confusus Schenck, 1861 in Kuhlmann et al. (2020); Rasmont et al. (2015); Mocs\u00e1ry (1897). [VU]\u25aa Bombus cryptarum Fabricius, 1775 in Kuhlmann et al. (2020). [LC]Bombus cullumanus Kirby, 1802 in Kuhlmann et al. (2020); as Bombus serrisquama Morawitz, 1888 in Lebedev (1931). [CR]Bombus deuteronymus Schulz, 1879 in Kuhlmann et al. (2020); Rasmont et al. (2015); as Bombus bureschi Pittioni, 1939 in \u017divojinovi\u0107 (1950). [DD]\u25aa Bombus distinguendus Morawitz, 1869 in Kuhlmann et al. (2020). [VU]\u25aa Bombus flavidus Eversmann, 1852 in Kuhlmann et al. (2020). [LC]Bombus fragrans in Kuhlmann et al. (2020); Mocs\u00e1ry (1897). [EN]\u25aa Bombus gerstaeckeri Morawitz, 1881 in Kuhlmann et al. (2020). [VU]\u2e17 Bombus haematurus Kriechbaumer, 1870 in Kuhlmann et al. (2020); Markov (2017); Markov et al. (2016); Rasmont et al. (2015); Grozdani\u0107 (1971b); Grozdani\u0107 and Vasi\u0107 (1965c); \u017divojinovi\u0107 (1950); Lebedev (1931); ZM coll. [LC]\u2e17 Bombus hortorum Linnaeus, 1761 in Kuhlmann et al. (2020); Markov (2017); Markov et al. (2016); Rasmont et al. (2015); Grozdani\u0107 ; Grozdani\u0107 and Vasi\u0107 (1966a); Grozdani\u0107 and Vasi\u0107 (1965c); Grozdani\u0107 and Baranov (1963); Vorgin (1955); \u017divojinovi\u0107 (1950); Lebedev (1931); Apfelbeck (1896); A\u0110 coll.; ZM coll. [LC]\u2e17 Bombus humilis Illiger, 1806 in Kuhlmann et al. (2020); Mudri-Stojni\u0107 (2018); Markov (2017); Rasmont et al. (2015); Mudri-Stojni\u0107 et al. (2012); Grozdani\u0107 and Vasi\u0107 ; \u017divojinovi\u0107 (1950); A\u0110 coll.; ZM coll.; as Bombus helferanus Seidl, 1838 in Vorgin (1955); Lebedev (1931); as Bombus variabilis Schmiedeknecht, 1878 in Mocs\u00e1ry (1897); Apfelbeck (1896). [LC]\u2e17 Bombus hypnorum Linnaeus, 1758 in Kuhlmann et al. (2020); Markov (2017); Rasmont et al. (2015); Mudri-Stojni\u0107 et al. (2012); \u017divojinovi\u0107 (1950); Lebedev (1931); A\u0110 coll. [LC]\u25aa Bombus jonellus Kirby, 1802 in Kuhlmann et al. (2020). [LC]Bombus laesus Morawitz, 1875 in Kuhlmann et al. (2020); Vorgin (1918); Mocs\u00e1ry (1897). [NT]\u2e17 Bombus lapidarius Linnaeus, 1758 in Kuhlmann et al. (2020); Mudri-Stojni\u0107 (2018); Markov (2017); Rasmont et al. (2015); Mudri-Stojni\u0107 et al. (2012); Grozdani\u0107 ; Grozdani\u0107 and Vasi\u0107 ; Vorgin (1955); \u017divojinovi\u0107 (1950); Lebedev (1931); Mocs\u00e1ry (1897); Apfelbeck (1896); A\u0110 coll.; ZM coll. [LC]\u2e17 Bombus lucorum Linnaeus, 1761 in Kuhlmann et al. (2020); Vorgin (1955); \u017divojinovi\u0107 (1950); Lebedev (1931); A\u0110 coll.; ZM coll. [LC]\u25aa Bombus mendax Gerst\u00e4cker, 1869 in Kuhlmann et al. (2020). [NT]\u25aa Bombus mesomelas Gerst\u00e4cker, 1869 in Kuhlmann et al. (2020). [LC]\u25aa Bombus mlokosievitzii Radoszkowski, 1877 in Kuhlmann et al. (2020). [DD]\u25aa Bombus mocsaryi Kriechbaumer, 1877 in Kuhlmann et al. (2020). [EN]\u25aa Bombus monticola Smith, 1849 in Kuhlmann et al. (2020). [LC]\u25aa Bombus mucidus Gerst\u00e4cker, 1869 in Kuhlmann et al. (2020). [NT]Bombus muscorum Linnaeus, 1758 in Kuhlmann et al. (2020); Stevanovi\u0107 and Lazarov (1977); Vorgin (1955). [VU]Bombus niveatus Kriechbaumer, 1870 in Kuhlmann et al. (2020); Rasmont et al. (2015); as Bombus vorticosus Gerst\u00e4cker, 1872 in Vorgin (1955). [LC]\u25aa Bombus norvegicus Sparre-Schneider, 1918 in Kuhlmann et al. (2020). [LC]\u2e17 Bombus pascuorum Scopoli, 1763 in Kuhlmann et al. (2020); Mudri-Stojni\u0107 (2018); Markov (2017); Markov et al. (2016); Rasmont et al. (2015); Mudri-Stojni\u0107 et al. (2012); A\u0110 coll.; ZM coll.; as Bombus cognatus Stephens, 1846 in Grozdani\u0107 (1971b); Grozdani\u0107 and Vasi\u0107 (1965c); Lebedev (1931); Vorgin (1918); as Bombus agrorum in Grozdani\u0107 and Vasi\u0107 ; Grozdani\u0107 (1960); Grozdani\u0107 and Stevanovi\u0107 (1959); Petrik (1958); Grozdani\u0107 and \u010colovi\u0107 ; Vorgin (1955); \u017divojinovi\u0107 (1950); Lebedev (1931); Mocs\u00e1ry (1897); Apfelbeck (1896); Korlevi\u0107 (1890). [LC]\u2e17 Bombus pomorum Panzer, 1805 in Kuhlmann et al. (2020); Rasmont et al. (2015); Vorgin (1918); Mocs\u00e1ry (1897); A\u0110 coll. [VU]\u2e17 Bombus pratorum Linnaeus, 1761 in Kuhlmann et al. (2020); Markov (2017); Rasmont et al. (2015); Grozdani\u0107 and \u010colovi\u0107 ; \u017divojinovi\u0107 (1950); Lebedev (1931); Mocs\u00e1ry (1897); A\u0110 coll. [LC]Bombus pyrenaeus P\u00e9rez, 1879 in Kuhlmann et al. (2020); Rasmont et al. (2015). [LC]\u2e17 Bombus quadricolor Lepeletier, 1832 in Kuhlmann et al. (2020); Rasmont et al. (2015); A\u0110 coll. [LC]\u2e17 Bombus ruderarius M\u00fcller, 1776 in Kuhlmann et al. (2020); Mudri-Stojni\u0107 (2018); Markov (2017); Rasmont et al. (2015); Mudri-Stojni\u0107 et al. (2012); A\u0110 coll.; as Bombus derhamellus in Lebedev (1931); Apfelbeck (1896). [LC]Bombus ruderatus Fabricius, 1775 in Petrik (1958); Vorgin (1955). [LC]\u2e17 Bombus rupestris Fabricius, 1793 in Kuhlmann et al. (2020); Rasmont et al. (2015); A\u0110 coll.; ZM coll. [LC]\u25aa Bombus sichelii Radoszkowski, 1859 in Kuhlmann et al. (2020). [LC]\u2e17 Bombus soroeensis Fabricius, 1776 in Kuhlmann et al. (2020); Rasmont et al. (2015); Vorgin (1955); ZM coll.; as Bombus proteus Gerst\u00e4cker, 1869 in Lebedev (1931). [LC]Bombus subterraneus in Kuhlmann et al. (2020); Rasmont et al. (2015). [LC]\u2e17 Bombus sylvarum Linnaeus, 1761 in Kuhlmann et al. (2020); Mudri-Stojni\u0107 (2018); Markov (2017); Rasmont et al. (2015); Mudri-Stojni\u0107 et al. (2012); Grozdani\u0107 (1971b); Grozdani\u0107 and Vasi\u0107 ; Vorgin (1955); \u017divojinovi\u0107 (1950); Lebedev (1931); Mocs\u00e1ry (1897); Apfelbeck (1896); Korlevi\u0107 (1890); SG coll. [LC]\u2e17 Bombus sylvestris Lepeletier, 1832 in Kuhlmann et al. (2020); Rasmont et al. (2015); A\u0110 coll. [LC]\u2e17 Bombus terrestris Linnaeus, 1758 in Kuhlmann et al. (2020); Mudri-Stojni\u0107 (2018); Markov (2017); Markov et al. (2016); Rasmont et al. (2015); Mudri-Stojni\u0107 et al. (2012); Grozdani\u0107 ; Grozdani\u0107 and Vasi\u0107 ; Grozdani\u0107 and Baranov (1963); Petrik (1958); Grozdani\u0107 and \u010colovi\u0107 (1955b); Vorgin (1955); \u017divojinovi\u0107 (1950); Lebedev (1931); Apfelbeck (1896); A\u0110 coll.; ZM coll. [LC]\u2e17 Bombus vestalis Geoffroy, 1785 in Kuhlmann et al. (2020); Rasmont et al. (2015); A\u0110 coll.; SG coll.; as Psithyrus vestalis Geoffroy, 1785 in Grozdani\u0107 and Vasi\u0107 (1966a); Vorgin (1955); Lebedev (1931); Apfelbeck (1896). [LC]\u2e17 Bombus wurflenii Radoszkowski, 1859 in Kuhlmann et al. (2020); Rasmont et al. (2015); A\u0110 coll.; as Bombus mastrucatus Gerst\u00e4cker, 1869 in Apfelbeck (1896). [LC]Bombus zonatus Smith, 1854 in Kuhlmann et al. (2020); \u017divojinovi\u0107 (1950); Lebedev (1931); Mocs\u00e1ry (1897). [EN]Ceratina Latreille, 1802 (11 species)\u2e17 Ceratina acuta Friese, 1896 in Grozdani\u0107 (1971b); Rafajlovi\u0107 and Sele\u0161i (1958); ZM coll. [LC]\u2e17 Ceratina callosa Fabricius, 1794 in Grozdani\u0107 (1971b); Rafajlovi\u0107 and Sele\u0161i (1958); \u017divojinovi\u0107 (1950); Lebedev (1931); Mocs\u00e1ry (1897); ZM coll. [LC]\u2e17 Ceratina chalcites Germar, 1839 in Kuhlmann et al. (2020); Markov (2017); Markov et al. (2016); Rafajlovi\u0107 and Sele\u0161i (1958); Lebedev (1931); Vorgin (1918); Mocs\u00e1ry (1897). [LC]\u2e17 Ceratina chalybea Chevrier, 1872 in Kuhlmann et al. (2020); Markov (2017); Markov et al. (2016). [LC]\u2e17 Ceratina cucurbitina Rossi, 1792 in Kuhlmann et al. (2020); Markov (2017); Markov et al. (2016); Grozdani\u0107 (1971b); Rafajlovi\u0107 and Sele\u0161i (1958); Lebedev (1931); Mocs\u00e1ry (1897); Apfelbeck (1896); ZM coll. [LC]\u2e17 Ceratina cyanea Kirby, 1802 in Kuhlmann et al. (2020); Markov (2017); Markov et al. (2016); Rafajlovi\u0107 and Sele\u0161i (1958); Lebedev (1931); Mocs\u00e1ry (1897); Apfelbeck (1896); A\u0110 coll.; ZM coll. [LC]\u25aa Ceratina dallatorreana Friese, 1896 in Kuhlmann et al. (2020). [LC]\u25aa Ceratina dentiventris Gerst\u00e4cker, 1869 in Kuhlmann et al. (2020). [LC]\u2e17 Ceratina loewi Gerst\u00e4cker, 1869 in ZM coll. [DD]Ceratina nigroaenea Gerst\u00e4cker, 1869 in Rafajlovi\u0107 and Sele\u0161i (1958). [LC]\u2e17 Ceratina nigrolabiata Friese, 1896 in Kuhlmann et al. (2020); Mudri-Stojni\u0107 (2018); Markov (2017); Markov et al. (2016); Mudri-Stojni\u0107 et al. (2012); Grozdani\u0107 (1971b); Rafajlovi\u0107 and Sele\u0161i (1958); A\u0110 coll.; ZM coll. [LC]Epeoloides Giraud, 1863 (1 species)\u2e17 Epeoloides coecutiens New material examined: 1 \u2642, 1 \u2640; Vlasina, Blato, Bo\u017ei\u010dki kanal; 42.6786\u00b0N, 22.3543\u00b0E; 23 Jul. 2019; T. Tot, N. Veljkovi\u0107 leg.; Andrej Gogala det.; A\u0110 coll. [LC]Epeolus Latreille, 1802 (5 species)Epeolus cruciger Panzer, 1799 in Kuhlmann et al. (2020); Bogusch and Hadrava (2018); Rafajlovi\u0107 and Sele\u0161i (1958). [NT]Epeolus fasciatus Friese, 1895 in Bogusch and Hadrava (2018); Rafajlovi\u0107 and Sele\u0161i (1958); Lebedev (1931); Mocs\u00e1ry (1897). [DD]\u2e17 Epeolus schummeli Schilling, 1849 in SG coll. [NT]Epeolus transitorius Eversmann, 1852 in Bogusch and Hadrava (2018); Petrik (1958); as Epeolus julliani P\u00e9rez, 1884 in Kuhlmann et al. (2020). Note: According to Bogusch and Hadrava (2018)E. julliani is syn. nov. under E. transitorius. [DD]\u2e17 Epeolus variegatus Linnaeus, 1758 in Kuhlmann et al. (2020); Bogusch and Hadrava (2018); Markov (2017); Markov et al. (2016); Petrik (1958); Apfelbeck (1896); also as Epeolus productus Thomson, 1870 in Mocs\u00e1ry (1897). [LC]Eucera Scopoli, 1770 (33 species)Eucera alternans Brull\u00e9, 1832 in Kuhlmann et al. (2020); as Tetralonia ruficollis in Petrik (1958); as Eucera ruficollis in Vorgin (1918). [DD]Eucera caspica Morawitz, 1873 in Vorgin (1918). [LC]\u2e17 Eucera chrysopyga P\u00e9rez, 1854 in Kuhlmann et al. (2020); Markov (2017); Markov et al. (2016); Rafajlovi\u0107 and Sele\u0161i (1958); Lebedev (1931); Vorgin (1918); Mocs\u00e1ry (1897); Apfelbeck (1896). [LC]\u2e17 Eucera cineraria Eversmann, 1852 in Kuhlmann et al. (2020); Markov (2017); Markov et al. (2016). [LC]\u2e17 Eucera clypeata Erichson, 1835 in Kuhlmann et al. (2020); Markov (2017); Markov et al. (2016); Mudri-Stojni\u0107 (2018); Mudri-Stojni\u0107 et al. (2012); Lebedev (1931); Vorgin (1918); Mocs\u00e1ry (1897); also as Eucera similis Lepeletier, 1841 in Rafajlovi\u0107 and Sele\u0161i (1958); Apfelbeck (1896). [LC]Eucera dalmatica Lepeletier, 1841 in Kuhlmann et al. (2020); Lebedev (1931); Mocs\u00e1ry (1897). [LC]\u2e17 Eucera excisa Mocs\u00e1ry, 1879 in Grozdani\u0107 ; Grozdani\u0107 and Vasi\u0107 (1967b); Vorgin (1918); Lebedev (1931); Mocs\u00e1ry (1897); ZM coll. [DD]\u2e17 Eucera hungarica Friese, 1896 in Mocs\u00e1ry (1897); SG coll.; also as Tetralonia hungarica in Rafajlovi\u0107 and Sele\u0161i (1958). [LC]\u2e17 Eucera interrupta B\u00e4r, 1850 in Kuhlmann et al. (2020); Mudri-Stojni\u0107 (2018); Markov (2017); Markov et al. (2016); Rafajlovi\u0107 and Sele\u0161i (1958); Lebedev (1931); Mocs\u00e1ry (1897). [LC]\u2e17 Eucera longicornis Linnaeus, 1758 in Kuhlmann et al. (2020); Mudri-Stojni\u0107 (2018); Petrik (1958); Rafajlovi\u0107 and Sele\u0161i (1958); Vorgin (1955); \u017divojinovi\u0107 (1950); Lebedev (1931); A\u0110 coll.; SG coll.; ZM coll.; also as Eucera difficilis P\u00e9rez, 1879 in Mocs\u00e1ry (1897); Apfelbeck (1896). [LC]\u2e17 Eucera nigrescens P\u00e9rez, 1879 in Kuhlmann et al. (2020); Markov (2017); Markov et al. (2016); ZM coll.; as Eucera tuberculata in Grozdani\u0107 and Vasi\u0107 ; Rafajlovi\u0107 and Sele\u0161i (1958); Lebedev (1931). [LC]\u2e17 Eucera nigrifacies Lepeletier, 1841 in Kuhlmann et al. (2020); Markov (2017); Markov et al. (2016); Mocs\u00e1ry (1897). [LC]\u2e17 Eucera pollinaris Kirby, 1802 in Markov (2017); Markov et al. (2016); as Eucera armeniaca in Rafajlovi\u0107 and Sele\u0161i (1958). [DD]Eucera proxima Morawitz, 1875 as Eucera nitidiventris Mocs\u00e1ry, 1879 in Rafajlovi\u0107 and Sele\u0161i (1958); Vorgin (1918); Apfelbeck (1896). [DD]\u25aa Eucera punctulata Alfken, 1942 in Kuhlmann et al. (2020). [DD]\u2e17 Eucera seminuda Brull\u00e9, 1832 in Mudri-Stojni\u0107 (2018); Markov (2017); Markov et al. (2016); Lebedev (1931); Vorgin (1918); ZM coll. [LC]\u2e17 Eucera taurica Morawitz, 1871 in Kuhlmann et al. (2020); Markov (2017); Markov et al. (2016). [DD]Eucera tricincta Erichson, 1835 in Vorgin (1918); also as Tetralonia tricincta in Rafajlovi\u0107 and Sele\u0161i (1958). [LC]\u25aa Eucera vittulata Noskiewicz, 1934 in Kuhlmann et al. (2020). [DD]Eucera vulpes Brull\u00e9, 1832 in Kuhlmann et al. (2020); as Eucera parvula Friese, 1896 in Rafajlovi\u0107 and Sele\u0161i (1958). [DD]Cubitalia Friese, 1911, Tetralonia Spinola, 1838 and Tetraloniella Ashmead, 1899 are placed as subgenera within Eucera Scopoli, 1770 :Note: According to \u2e17 Eucera parvicornis Mocs\u00e1ry, 1878 as Cubitalia parvicornis in ZM coll.; as Eucera parvicornis Mocs\u00e1ry, 1878 in Rafajlovi\u0107 and Sele\u0161i (1958); Vorgin (1918); Mocs\u00e1ry (1897). [DD]\u2e17 Eucera malvae Rossi, 1790 as Tetralonia malvae in Kuhlmann et al. (2020); Grozdani\u0107 (1971b); Vorgin (1955); \u017divojinovi\u0107 (1950); Lebedev (1931); ZM coll.; also as Eucera malvae in Rafajlovi\u0107 and Sele\u0161i (1958); as Eucera malvae in Mocs\u00e1ry (1897); Apfelbeck (1896). [LC]\u2e17 Eucera alticincta Lepeletier, 1841 as Tetraloniella alticincta in Kuhlmann et al. (2020); Markov (2017); as Tetralonia alticincta in Mudri-Stojni\u0107 (2018); Mudri-Stojni\u0107 et al. (2012). [LC]\u2e17 Eucera dentata Germar, 1839 as Tetraloniella dentata in Kuhlmann et al. (2020); as Tetralonia dentata in Mudri-Stojni\u0107 (2018); Lebedev (1931); as Eucera dentata Germar, 1839 in Rafajlovi\u0107 and Sele\u0161i (1958); Vorgin (1918); Mocs\u00e1ry (1897). [LC]Eucera fulvescens Giraud, 1863 as Tetraloniella fulvescens in Kuhlmann et al. (2020); as Tetralonia dufouri in Vorgin (1955). [DD]\u25aa Eucera glauca Fabricius 1775 as Tetraloniella glauca in Kuhlmann et al. (2020). [DD]\u2e17 Eucera graja as Tetraloniella graja in Grozdani\u0107 (1971b); ZM coll. [DD]\u2e17 Eucera lyncea Mocs\u00e1ry, 1879 as Tetraloniella lyncea in Markov (2017); as Tetralonia lyncea Mocs\u00e1ry, 1879 in Mudri-Stojni\u0107 (2018); Mudri-Stojni\u0107 et al. (2012); Grozdani\u0107 (1971b); Grozdani\u0107 and Vasi\u0107 (1966b); Lebedev (1931); SG coll.; ZM coll; as Eucera lyncea in Rafajlovi\u0107 and Sele\u0161i (1958); Mocs\u00e1ry (1897). [DD]\u2e17 Eucera nana Morawitz, 1874 as Tetraloniella nana in Markov (2017); ZM coll.; as Tetralonia nana Morawitz, 1874 in Mudri-Stojni\u0107 (2018); Mudri-Stojni\u0107 et al. (2012); Grozdani\u0107 (1971b); Grozdani\u0107 and Vasi\u0107 (1967a); Lebedev (1931); SG coll.; as Eucera nana in Rafajlovi\u0107 and Sele\u0161i (1958); Vorgin (1918); Mocs\u00e1ry (1897). [DD]\u2e17 Eucera ruficornis Fabricius, 1804 as Eucera ruficornis Fabricius, 1804 in Rafajlovi\u0107 and Sele\u0161i (1958); Mocs\u00e1ry (1897); as Tetralonia ruficornis in Vorgin (1955); Lebedev (1931); SG coll. [DD]\u2e17 Eucera pollinosa Lepeletier, 1841 as Tetralonia pollinosa and also as Eucera pollinosa Lepeletier, 1841 in Mudri-Stojni\u0107 (2018); as Eucera pollinosa in Rafajlovi\u0107 and Sele\u0161i (1958); Mocs\u00e1ry (1897); as Macrocera fossulata in Korlevi\u0107 (1890). [DD]\u2e17 Eucera salicariae Lepeletier, 1841 as Eucera salicariae in Rafajlovi\u0107 and Sele\u0161i (1958); Vorgin (1918); Mocs\u00e1ry (1897); Apfelbeck (1896); as Tetralonia salicariae in Vorgin (1955); \u017divojinovi\u0107 (1950); SG coll.; ZM coll. [DD]\u2e17 Eucera scabiosae Mocs\u00e1ry, 1881 as Tetraloniella scabiosae in Kuhlmann et al. (2020); Markov (2017); as Tetralonia scabiosae in Mudri-Stojni\u0107 (2018); Mudri-Stojni\u0107 et al. (2012); Grozdani\u0107 (1971b); Rafajlovi\u0107 and Sele\u0161i (1958); SG coll. ZM coll.; as Eucera scabiosae Mocs\u00e1ry, 1881 in Rafajlovi\u0107 and Sele\u0161i (1958); Vorgin ; Mocs\u00e1ry (1897). [DD]Habropoda Smith, 1854 (2 species)\u25aa Habropoda tarsata Spinola, 1838 in Kuhlmann et al. (2020). [LC]\u25aa Habropoda zonatula Smith, 1854 in Kuhlmann et al. (2020). [DD]Melecta Latreille, 1802 (7 species)\u2e17 Melecta albifrons F\u00f6rster, 1771 in Kuhlmann et al. (2020); as Melecta armata in Rafajlovi\u0107 and Sele\u0161i (1958); Vorgin (1918); ZM coll. [LC]\u25aa Melecta duodecimmaculata Rossi 1790 in Kuhlmann et al. (2020). [DD]\u25aa Melecta fulgida Lieftinck, 1980 in Kuhlmann et al. (2020). [DD]\u25aa Melecta funeraria Smith, 1854 in Kuhlmann et al. (2020). [DD]\u25aa Melecta italica Radoszkowski, 1876 in Kuhlmann et al. (2020). [DD]\u2e17 Melecta luctuosa Scopoli, 1770 in Kuhlmann et al. (2020); Rafajlovi\u0107 and Sele\u0161i (1958); Lebedev (1931); Vorgin (1918); ZM coll. [LC]\u25aa Melecta obscura Friese, 1895 in Kuhlmann et al. (2020). [DD]Nomada Scopoli, 1770 (77 species)Nomada alboguttata Herrich-Sch\u00e4ffer, 1839 in Kuhlmann et al. (2020); Smit (2018); Rafajlovi\u0107 and Sele\u0161i (1958); Lebedev (1931); Mocs\u00e1ry (1897). [LC]Nomada alpigena Schwarz, Gusenleitner, & Mazzucco, 1999 in Kuhlmann et al. (2020). Note: There are no type specimens listed from Serbia in Schwarz, Gusenleitner and Mazzucco (1999). [DD]Nomada argentata Herrich-Sch\u00e4ffer, 1839 in Kuhlmann et al. (2020); Smit (2018). [NT]\u2e17 Nomada armata Herrich-Sch\u00e4ffer, 1839 in Kuhlmann et al. (2020); Smit (2018); Rafajlovi\u0107 and Sele\u0161i (1958); Mocs\u00e1ry (1897); Apfelbeck (1896); A\u0110 coll. [NT]Nomada atroscutellaris Strand, 1921 in Kuhlmann et al. (2020); Smit (2018). [LC]Nomada basalis Herrich-Sch\u00e4ffer, 1839 in Kuhlmann et al. (2020); Smit (2018); Petrik (1958); Rafajlovi\u0107 and Sele\u0161i (1958); as Nomada tripunctata Morawitz, 1872 in Vorgin ; as Nomada flavomaculata Lucas, 1849 in Mocs\u00e1ry (1897); Apfelbeck (1896). [LC]\u2e17 Nomada bifasciata Olivier, 1811 in Kuhlmann et al. (2020); Markov (2017); Markov et al. (2016); as Nomada pusilla in Rafajlovi\u0107 and Sele\u0161i (1958). [LC]Nomada bispinosa Mocs\u00e1ry, 1883 in Rafajlovi\u0107 and Sele\u0161i (1958); Lebedev (1931). [LC]\u2e17 Nomada bluethgeni Stoeckhert, 1943 in Kuhlmann et al. (2020); Smit (2018); Markov (2017); Markov et al. (2016). [LC]Nomada braunsiana Schmiedeknecht, 1882 in Kuhlmann et al. (2020); Lebedev (1931). [NT]* Nomada calimorpha Schmiedeknecht, 1882 in Mocs\u00e1ry (1897). [DD]\u25aa Nomada castellana Dusmety Alonso, 1913 in Kuhlmann et al. (2020). [LC]\u25aa Nomada confinis Schmiedeknecht, 1882 in Kuhlmann et al. (2020). [DD]Nomada conjungens Herrich-Sch\u00e4ffer, 1839 in Kuhlmann et al. (2020); Lebedev (1931). [LC]Nomada cruenta Schmiedeknecht, 1882 in Kuhlmann et al. (2020); Smit (2018); Vorgin (1918). [LC]\u2e17 Nomada distinguenda Morawitz, 1874 in Smit (2018); Markov (2017); Markov et al. (2016); Rafajlovi\u0107 and Sele\u0161i (1958); Vorgin (1918); Apfelbeck (1896). [LC]\u25aa Nomada emarginata Morawitz, 1877 in Kuhlmann et al. (2020). [LC]Nomada errans Lepeletier, 1841 in Kuhlmann et al. (2020); Smit (2018); Lebedev (1931). [NT]Nomada erythrocephala Morawitz, 1870 in Rafajlovi\u0107 and Sele\u0161i (1958). [DD]\u2e17 Nomada fabriciana Linnaeus, 1767 in Kuhlmann et al. (2020); Lebedev (1931); A\u0110 coll. [LC]\u25aa Nomada facilis Schwarz, 1967 in Kuhlmann et al. (2020). [LC]Nomada femoralis Morawitz, 1869 in Kuhlmann et al. (2020); Rafajlovi\u0107 and Sele\u0161i (1958); Vorgin (1918); Mocs\u00e1ry (1897). [LC]Nomada ferruginata Linn\u00e9 1767 in Kuhlmann et al. (2020); Smit (2018); Rafajlovi\u0107 and Sele\u0161i (1958); Vorgin ; Lebedev (1931). [LC]\u2e17 Nomada flava Panzer, 1798 in Kuhlmann et al. (2020); Smit (2018); Lebedev (1931); A\u0110 coll. [LC]\u2e17 Nomada flavoguttata Kirby, 1802 in Kuhlmann et al. (2020); Smit (2018); Markov (2017); Markov et al. (2016); Rafajlovi\u0107 and Sele\u0161i (1958); Lebedev (1931); Apfelbeck (1896); A\u0110 coll. [LC]\u25aa Nomada flavopicta Kirby, 1802 in Kuhlmann et al. (2020). [LC]\u2e17 Nomada fucata Panzer, 1798 in Kuhlmann et al. (2020); Smit (2018); Rafajlovi\u0107 and Sele\u0161i (1958); Lebedev (1931); Vorgin (1918); Mocs\u00e1ry (1897); Apfelbeck (1896); A\u0110 coll.; as Nomada varia Panzer, 1798 in Petrik (1958). [LC]Nomada fulvicornis Fabricius, 1793 in Kuhlmann et al. (2020); Smit (2018); also as Nomada lineola Panzer, 1798 in Rafajlovi\u0107 and Sele\u0161i (1958); Lebedev (1931); as Nomada lineola in Vorgin (1955); Mocs\u00e1ry (1897); as Nomada robusta Morawitz, 1870 in Apfelbeck (1896). [LC]Nomada furva Panzer, 1798 in Kuhlmann et al. (2020); Rafajlovi\u0107 and Sele\u0161i (1958). [DD]\u25aa Nomada furvoides Stoeckhert, 1944 in Kuhlmann et al. (2020). [DD]Nomada fuscicornis Nylander, 1848 in Kuhlmann et al. (2020); Smit (2018); Vorgin (1918). [LC]\u25aa Nomada goodeniana Kirby, 1802 in Kuhlmann et al. (2020). [LC]* Nomada gribodoi Schmiedeknecht, 1882 as Nomada elegans Mocs\u00e1ry, 1897 in Mocs\u00e1ry (1897). [DD]Nomada guttulata Schenck, 1861 in Kuhlmann et al. (2020); Smit (2018); Vorgin (1918). [LC]\u25aa Nomada hirtipes P\u00e9rez, 1884 in Kuhlmann et al. (2020). [LC]Nomada hungarica Dalla Torre & Friese, 1894 in Rafajlovi\u0107 and Sele\u0161i (1958). [DD]Nomada immaculata Morawitz, 1874 in Vorgin (1918). [DD]Nomada incisa Schmiedeknecht, 1882 in Kuhlmann et al. (2020); Smit (2018); Lebedev (1931). [DD]\u2e17 Nomada integra Brull\u00e9, 1832 in Kuhlmann et al. (2020); A\u0110 coll. [LC]Nomada kohli Schmiedeknecht, 1882 in Kuhlmann et al. (2020); Smit (2018); Apfelbeck (1896). [LC]\u2e17 Nomada lathburiana Kirby, 1802 in Kuhlmann et al. (2020); SG coll. [LC]\u2e17 Nomada leucophthalma New material examined: 1 \u2640; Vlasina, Veliki \u010demernik; 42.7368\u00b0N, 22.2723\u00b0E; 25 May 2019; M. Vuji\u0107 leg.; Andrej Gogala det.; A\u0110 coll. [LC]Nomada marshamella Kirby, 1802 in Kuhlmann et al. (2020); Smit (2018). [LC]Nomada mauritanica Lepeletier, 1841 in Smit (2018); as Nomada chrysopyga Morawitz, 1871 in Rafajlovi\u0107 and Sele\u0161i (1958); Vorgin (1918); Mocs\u00e1ry (1897); Apfelbeck (1896). [LC]Nomada mocsaryi Schmiedeknecht, 1882 in Kuhlmann et al. (2020); Smit (2018); Mocs\u00e1ry (1897). [DD]\u25aa Nomada moeschleri Alfken, 1913 in Kuhlmann et al. (2020). [LC]Nomada mutabilis Morawitz, 1870 in Kuhlmann et al. (2020); Smit (2018); Vorgin (1918); Apfelbeck (1896). [LC]Nomada mutica Morawitz, 1872 in Kuhlmann et al. (2020); Lebedev (1931). [NT]Nomada nobilis Herrich-Sch\u00e4ffer, 1839 in Kuhlmann et al. (2020); Smit (2018); Mocs\u00e1ry (1897); Apfelbeck (1896). [LC]Nomada numida Lepeletier, 1841 in Kuhlmann et al. (2020); Smit (2018). [LC]\u25aa Nomada obtusifrons Nylander, 1848 in Kuhlmann et al. (2020). [NT]\u25aa Nomada opaca Alfken, 1913 in Kuhlmann et al. (2020). [NT]\u25aa Nomada pallispinosa Schwarz, 1967 in Kuhlmann et al. (2020). [DD]Nomada panzeri Lepeletier, 1841 in Kuhlmann et al. (2020); Smit (2018). [LC]Nomada pectoralis Morawitz, 1877 in Vorgin (1918). [DD]Nomada piccioliana Magretti, 1883 in Kuhlmann et al. (2020); Smit (2018). [LC]Nomada pleurosticta Herrich-Sch\u00e4ffer, 1839 as Nomada major Morawitz, 1872 in Lebedev (1931). [NT]\u25aa Nomada propinqua Schmiedeknecht, 1882 in Kuhlmann et al. (2020). [LC]Nomada pulchra Arnold, 1888 in Smit (2018). [EN]Nomada rhenana Morawitz, 1872 in Kuhlmann et al. (2020); Smit (2018); Rafajlovi\u0107 and Sele\u0161i (1958); Mocs\u00e1ry (1897). [NT]\u2e17 Nomada ruficornis Linnaeus, 1758 in Kuhlmann et al. (2020); Smit (2018); Apfelbeck (1896); Mocs\u00e1ry (1897); A\u0110 coll; also as Nomada bifida Thomson, 1872 in Rafajlovi\u0107 and Sele\u0161i (1958); as Nomada bifida in Lebedev (1931). [LC]Nomada rufipes Fabricius, 1793 in Kuhlmann et al. (2020); Petrik (1958); Rafajlovi\u0107 and Sele\u0161i (1958). [LC]Nomada sexfasciata Panzer, 1799 in Kuhlmann et al. (2020); Smit (2018); Rafajlovi\u0107 and Sele\u0161i (1958); Lebedev (1931). [LC]\u25aa Nomada sheppardana Kirby, 1802 in Kuhlmann et al. (2020). [LC]Nomada signata Jurine, 1807 in Kuhlmann et al. (2020); Rafajlovi\u0107 and Sele\u0161i (1958). [LC]Nomada similis Morawitz, 1872 in Vorgin (1918). [LC]Nomada stigma Fabricius, 1804 in Kuhlmann et al. (2020); as Nomada austriaca Schmiedeknecht, 1882 in Vorgin (1918). [LC]Nomada striata Fabricius, 1793 in Kuhlmann et al. (2020); as Nomada ochrostoma in Apfelbeck (1896). [LC]\u25aa Nomada succincta Panzer, 1798 in Kuhlmann et al. (2020). [LC]\u25aa Nomada symphyti Stoeckhert, 1930 in Kuhlmann et al. (2020). [NT]Nomada tenella Mocs\u00e1ry, 1883 in Kuhlmann et al. (2020); Smit (2018). [NT]Nomada transitoria Schmiedeknecht, 1882 in Smit (2018). [LC]\u25aa Nomada tridentirostris Dours, 1873 in Kuhlmann et al. (2020). [LC]Nomada trispinosa Schmiedeknecht, 1882 in Kuhlmann et al. (2020); Rafajlovi\u0107 and Sele\u0161i (1958); Lebedev (1931). [LC]\u25aa Nomada verna Schmiedeknecht, 1882 in Kuhlmann et al. (2020). [DD]Nomada villosa Thomson, 1870 in Kuhlmann et al. (2020); Lebedev (1931). [NT]Nomada zonata Panzer, 1798 in Kuhlmann et al. (2020); Smit (2018); Lebedev (1931); Vorgin (1918). [LC]Pasites Jurine, 1807 (1 species)Pasites maculatus Jurine, 1807 in Petrik (1958); Rafajlovi\u0107 and Sele\u0161i (1958); Mocs\u00e1ry (1897). [LC]Thyreus Panzer, 1806 (7 species)Thyreus affinis Morawitz, 1874 in Kuhlmann et al. (2020); as Crocisa affinis Morawitz, 1874 in Rafajlovi\u0107 and Sele\u0161i (1958). [DD]\u2e17 Thyreus histrionicus Illiger, 1806 in Kuhlmann et al. (2020); ZM coll.; as Crocisa major Morawitz, 1875 in Rafajlovi\u0107 and Sele\u0161i (1958); Mocs\u00e1ry (1897). [LC]\u2e17 Thyreus orbatus Lepeletier, 1841 in Kuhlmann et al. (2020); ZM coll. [LC]\u25aa Thyreus picaron Lieftinck, 1968 in Kuhlmann et al. (2020). [DD]\u2e17 Thyreus ramosus Lepeletier, 1841 in Kuhlmann et al. (2020); ZM coll.; as Crocisa ramosa Lepeletier, 1841 in Rafajlovi\u0107 and Sele\u0161i (1958); Mocs\u00e1ry (1897). [LC]\u2e17 Thyreus scutellaris Fabricius, 1781 in Kuhlmann et al. (2020); ZM coll.; as Crocisa scutellaris in Petrik (1958); Vorgin (1918); Mocs\u00e1ry (1897). [DD]Thyreus truncatus P\u00e9rez, 1883 in Kuhlmann et al. (2020); as Crocisa truncata P\u00e9rez, 1883 in Mocs\u00e1ry (1897). [DD]Triepeolus Robertson, 1901 (1 species)* Triepeolus tristis as Epeolus tristis Smith, 1854 in Mocs\u00e1ry (1897). [NT]Xylocopa Latreille, 1802 (4 species)\u2e17 Xylocopa iris Christ, 1791 in Kuhlmann et al. (2020); ZM coll.; as Xylocopa cyanescens Brull\u00e9, 1832 in Grozdani\u0107 and Mu\u010dalica (1973); Grozdani\u0107 (1971b); Grozdani\u0107 and Vasi\u0107 (1966a); Lebedev (1931). [LC]\u25aa Xylocopa olivieri Lepeletier, 1841 in Kuhlmann et al. (2020). [LC]\u2e17 Xylocopa valga Gerst\u00e4cker, 1872 in Kuhlmann et al. (2020); Grozdani\u0107 and Mu\u010dalica (1973); Grozdani\u0107 ; Grozdani\u0107 and Vasi\u0107 (1965c); Grozdani\u0107 and Baranov (1963); Rafajlovi\u0107 and Sele\u0161i (1958); Grozdani\u0107 and \u010colovi\u0107 (1955b); Mocs\u00e1ry (1897); Apfelbeck (1896); A\u0110 coll.; ZM coll. [LC]\u2e17 Xylocopa violacea Linnaeus, 1758 in Kuhlmann et al. (2020); Grozdani\u0107 and Mu\u010dalica (1973); Grozdani\u0107 ; Grozdani\u0107 and Vasi\u0107 (1966a); Petrik (1958); Rafajlovi\u0107 and Sele\u0161i (1958); \u017divojinovi\u0107 (1950); Lebedev (1931); Apfelbeck (1896); A\u0110 coll.; ZM coll. [LC]Colletes Latreille, 1802 (27 species)\u25aa Colletes albomaculatus in Kuhlmann et al. (2020). [NT]\u2e17 Colletes anchusae Noskiewicz, 1924 Kuhlmann et al. (2020); Grozdani\u0107 and Vasi\u0107 (1966a); ZM coll. [EN]Colletes brevigena Noskiewicz, 1936 in Kuhlmann et al. (2020); Burger (2010). [LC]\u25aa Colletes carinatus Radoszkowski, 1891 in Kuhlmann et al. (2020). [LC]\u25aa Colletes caskanus in Kuhlmann et al. (2020). [DD]\u25aa Colletes chengtehensis Yasumatsu, 1935 in Kuhlmann et al. (2020). [VU]\u2e17 Colletes cunicularius in Kuhlmann et al. (2020); Markov (2017); Markov et al. (2016); Grozdani\u0107 ; Rafajlovi\u0107 and Sele\u0161i (1958); Mocs\u00e1ry (1897); A\u0110 coll.; ZM coll.; as Colletes cunicularia in Apfelbeck (1896). [LC]\u2e17 Colletes daviesanus Smith, 1846 in Kuhlmann et al. (2020); Markov (2017); Markov et al. (2016); Rafajlovi\u0107 and Sele\u0161i (1958); Lebedev (1931); Mocs\u00e1ry (1897); A\u0110 coll.; as Colletes daviesana in Apfelbeck (1896). [LC]Colletes eous Morice, 1904 in Kuhlmann et al. (2020); Lebedev (1931). [LC]\u25aa Colletes floralis Eversmann, 1852 in Kuhlmann et al. (2020). [VU]\u2e17 Colletes fodiens in Kuhlmann et al. (2020); Markov (2017); Petrik (1958); Rafajlovi\u0107 and Sele\u0161i (1958). [VU]\u25aa Colletes foveolaris P\u00e9rez, 1903 in Kuhlmann et al. (2020). [LC]Colletes gallicus Radoszkowski, 1891 in Rafajlovi\u0107 and Sele\u0161i (1958). [LC]\u25aa Colletes graeffei Alfken, 1900 in Kuhlmann et al. (2020). [EN]Colletes hederae Schmidt & Westrich, 1993 in Kuhlmann et al. (2020); Burger (2010). [LC]Colletes hylaeiformis Eversmann, 1852 in Kuhlmann et al. (2020); Rafajlovi\u0107 and Sele\u0161i (1958); Vorgin (1918); Mocs\u00e1ry (1897). [LC]\u25aa Colletes inexpectatus Noskiewicz, 1936 in Kuhlmann et al. (2020). [LC]\u2e17 Colletes maidli Noskiewicz, 1936 in Kuhlmann et al. (2020); Markov (2017). [LC]Colletes marginatus Smith, 1846 in Kuhlmann et al. (2020); Petrik (1958); Rafajlovi\u0107 and Sele\u0161i (1958); as Colletes marginata in Apfelbeck (1896). [LC]\u25aa Colletes meyeri Noskiewicz, 1936 in Kuhlmann et al. (2020). [EN]\u25aa Colletes mlokossewiczi Radoszkowski, 1891 in Kuhlmann et al. (2020). [LC]\u2e17 Colletes nasutus Smith, 1853 in Kuhlmann et al. (2020); Mudri-Stojni\u0107 (2018); Markov (2017); Rafajlovi\u0107 and Sele\u0161i (1958); \u017divojinovi\u0107 (1950); Lebedev (1931); Mocs\u00e1ry (1897). [EN]\u25aa Colletes nigricans Gistel, 1857 in Kuhlmann et al. (2020). [LC]Colletes punctatus Mocs\u00e1ry, 1877 in Rafajlovi\u0107 and Sele\u0161i (1958); Vorgin (1918); Mocs\u00e1ry (1897). [EN]\u25aa Colletes senilis in Kuhlmann et al. (2020). [DD]Colletes succinctus in Kuhlmann et al. (2020); Petrik (1958); Rafajlovi\u0107 and Sele\u0161i (1958); \u017divojinovi\u0107 (1950); Lebedev (1931); Vorgin (1918). [NT]\u2e17 Colletes similis Schenck, 1853 in Kuhlmann et al. (2020); Mudri-Stojni\u0107 (2018); Petrik (1958); Rafajlovi\u0107 and Sele\u0161i (1958); \u017divojinovi\u0107 (1950); Lebedev (1931); as Colletes picistigma Thomson, 1872 in Vorgin (1918); Mocs\u00e1ry (1897). [LC]Hylaeus Fabricius, 1793 (42 species)\u25aa Hylaeus adriaticus in Kuhlmann et al. (2020). [DD]\u25aa Hylaeus alpinus in Kuhlmann et al. (2020). [DD]Hylaeus angustatus in Kuhlmann et al. (2020); as Prosopis angustata Schenck, 1861 in Rafajlovi\u0107 and Sele\u0161i (1958); \u017divojinovi\u0107 (1950). [LC]\u2e17 Hylaeus annularis in Markov (2017); Markov et al. (2016); A\u0110 coll.; as Prosopis annularis in Rafajlovi\u0107 and Sele\u0161i (1958); \u017divojinovi\u0107 (1950). Note: It is difficult to be certain about the correct status of specimens in the literature before Notton and Dathe (2008) who pointed out the confusion regarding previously understood interpretation of the name. [DD]Hylaeus annulatus in Kuhlmann et al. (2020); as Prosopis annulata in Vorgin (1955); Lebedev (1931). [DD]\u2e17 Hylaeus brevicornis Nylander, 1852 in Kuhlmann et al. (2020); Mudri-Stojni\u0107 (2018); Markov (2017); Markov et al. (2016); as Prosopis brevicornis in Rafajlovi\u0107 and Sele\u0161i (1958); Lebedev (1931); Apfelbeck (1896). [LC]\u25aa Hylaeus clypearis in Kuhlmann et al. (2020). [LC]\u2e17 Hylaeus communis Nylander, 1852 in Kuhlmann et al. (2020); Mudri-Stojni\u0107 (2018); A\u0110 coll.; as Prosopis communis in Rafajlovi\u0107 and Sele\u0161i (1958); Lebedev (1931); Apfelbeck (1896). [LC]\u2e17 Hylaeus confusus Nylander, 1852 in Kuhlmann et al. (2020); A\u0110 coll.; as Prosopis confusa in Rafajlovi\u0107 and Sele\u0161i (1958); Apfelbeck (1896). [LC]\u25aa Hylaeus coriaceus in Kuhlmann et al. (2020). [DD]\u2e17 Hylaeus cornutus Curtis, 1831 in Mudri-Stojni\u0107 (2018); as Prosopis cornuta in Rafajlovi\u0107 and Sele\u0161i (1958); Vorgin ; Mocs\u00e1ry (1897). [LC]\u25aa Hylaeus crassanus in Kuhlmann et al. (2020). [NT]Hylaeus difformis in Kuhlmann et al. (2020); as Prosopis difformis Eversmann, 1852 in Rafajlovi\u0107 and Sele\u0161i (1958); \u017divojinovi\u0107 (1950); Vorgin (1918); Mocs\u00e1ry (1897). [LC]Hylaeus dilatatus in Kuhlmann et al. (2020); as Prosopis dilatata in Apfelbeck (1896). Note: It is difficult to be certain about the correct status of specimens in the literature before Notton and Dathe (2008) who pointed out the confusion regarding previously understood interpretation of the name. [LC]Hylaeus duckei in Kuhlmann et al. (2020); as Prosopis duckei Alfken, 1904 in Rafajlovi\u0107 and Sele\u0161i (1958). [DD]Hylaeus euryscapus F\u00f6rster, 1871 in Kuhlmann et al. (2020); as Prosopis euryscapus in Rafajlovi\u0107 and Sele\u0161i (1958); Prosopis euryscapa in Vorgin ; Mocs\u00e1ry (1897). Note: It is difficult to be certain about the correct status of specimens in the literature before Notton and Dathe (2008) who pointed out the confusion regarding previously understood interpretation of the name H. annularis. [DD]Hylaeus gibbus Saunders, 1850 in Kuhlmann et al. (2020); as Prosopis gibba in Rafajlovi\u0107 and Sele\u0161i (1958); Lebedev (1931). [LC]\u25aa Hylaeus gredleri F\u00f6rster, 1871 in Kuhlmann et al. (2020). [LC]Hylaeus hyalinatus Smith, 1842 in Kuhlmann et al. (2020); as Prosopis hyalinata Smith, 1842 in Rafajlovi\u0107 and Sele\u0161i (1958); Mocs\u00e1ry (1897); Apfelbeck (1896). [LC]\u25aa Hylaeus hyperpunctatus in Kuhlmann et al. (2020). [DD]\u25aa Hylaeus imparilis F\u00f6rster, 1871 in Kuhlmann et al. (2020). [LC]Hylaeus incongruus F\u00f6rster, 1871 as Prosopis genalis Thoms. in Vorgin (1918). [DD]\u25aa Hylaeus kahri F\u00f6rster, 1871 in Kuhlmann et al. (2020). [DD]Hylaeus leptocephalus in Kuhlmann et al. (2020); as Prosopis bisinuata F\u00f6rster, 1871 in Rafajlovi\u0107 and Sele\u0161i (1958). [LC]\u2e17 Hylaeus lineolatus in Kuhlmann et al. (2020); A\u0110 coll.; ZM coll.; as Prosopis lineolata Schenck, 1861 in Rafajlovi\u0107 and Sele\u0161i (1958); Lebedev (1931). [LC]Hylaeus meridionalis F\u00f6rster, 1871 in Kuhlmann et al. (2020); as Prosopis meridionalis F\u00f6rster, 1871 in Rafajlovi\u0107 and Sele\u0161i (1958); Mocs\u00e1ry (1897). [DD]\u2e17 Hylaeus nigritus in Kuhlmann et al. (2020); A\u0110 coll.; as Prosopis nigrita in Lebedev (1931). [LC]\u25aa Hylaeus nivaliformis Dathe, 1977 in Kuhlmann et al. (2020). [DD]\u25aa Hylaeus pfankuchi in Kuhlmann et al. (2020). [LC]Hylaeus pictipes Nylander, 1852 in Kuhlmann et al. (2020); as Prosopis pictipes in Rafajlovi\u0107 and Sele\u0161i (1958); Vorgin (1918). [LC]Hylaeus punctatus in Kuhlmann et al. (2020); as Prosopis punctata Brull\u00e9, 1832 in Rafajlovi\u0107 and Sele\u0161i (1958). [LC]\u25aa Hylaeus punctulatissimus Smith, 1842 in Kuhlmann et al. (2020). [DD]\u25aa Hylaeus punctus F\u00f6rster, 1871 in Kuhlmann et al. (2020). [DD]\u25aa Hylaeus rugicollis Morawitz, 1873 in Kuhlmann et al. (2020). [DD]\u25aa Hylaeus scutellatus in Kuhlmann et al. (2020). [DD]Hylaeus signatus in Kuhlmann et al. (2020); as Prosopis pratensis in Rafajlovi\u0107 and Sele\u0161i (1958); Vorgin (1955); as Prosopis bipunctata in Mocs\u00e1ry (1897); Apfelbeck (1896). [LC]Hylaeus sinuatus in Kuhlmann et al. (2020); Petrik (1958); as Prosopis minuta in Rafajlovi\u0107 and Sele\u0161i (1958); as Prosopis sinuata in Mocs\u00e1ry (1897). [LC]\u25aa Hylaeus soror in Kuhlmann et al. (2020). [DD]Hylaeus styriacus F\u00f6rster, 1871 in Kuhlmann et al. (2020); as Prosopis styriaca in Rafajlovi\u0107 and Sele\u0161i (1958). [DD]\u25aa Hylaeus taeniolatus F\u00f6rster, 1871 in Kuhlmann et al. (2020). [LC]\u25aa Hylaeus tyrolensis F\u00f6rster, 1871 in Kuhlmann et al. (2020). [DD]Hylaeus variegatus in Kuhlmann et al. (2020); as Prosopis variegata in Rafajlovi\u0107 and Sele\u0161i (1958); Lebedev (1931); Mocs\u00e1ry (1897); Apfelbeck (1896). [LC]Ceylalictus Strand, 1913 (1 species)Ceylalictus variegatus in Kuhlmann et al. (2020); as Nomioides jucunda Morawitz, 1874 in Petrik (1958); as Nomioides variegatus in Rafajlovi\u0107 and Sele\u0161i (1958); Mocs\u00e1ry (1897). [LC]Dufourea Lepeletier, 1841 (4 species)* Dufourea alpina Morawitz, 1865 in Apfelbeck (1896). [LC]Dufourea dentiventris in Kuhlmann et al. (2020); as Halictoides dentiventris Nylander, 1848 in Lebedev (1931). [NT]\u2e17 Dufourea inermis in Kuhlmann et al. (2020); A\u0110 coll. [NT]\u25aa Dufourea minuta Lepeletier, 1841 in Kuhlmann et al. (2020). [NT]Halictus Latreille, 1804 (18 species)\u2e17 Halictus asperulus P\u00e9rez, 1895 in Kuhlmann et al. (2020); Markov (2017); Markov et al. (2016); Grozdani\u0107 (1972a); Rafajlovi\u0107 and Sele\u0161i (1958); Lebedev (1931). [DD]\u2e17 Halictus brunnescens in Markov (2017); Markov et al. (2016). [DD]\u25aa Halictus carinthiacus Bl\u00fcthgen, 1936 in Kuhlmann et al. (2020). [EN]Halictus cochlearitarsis Dours, 1872 in Grozdani\u0107 (1966); Rafajlovi\u0107 and Sele\u0161i (1958). [LC]\u2e17 Halictus compressus as Halictus eurygnathus Bl\u00fcthgen, 1930 in Markov (2017); Markov et al. (2016); \u017divojinovi\u0107 (1950). [LC]\u2e17 Halictus fulvipes in Mudri-Stojni\u0107 (2018); Markov (2017); Markov et al. (2016); Mu\u010dalica (1968); Lebedev (1931). [LC]\u2e17 Halictus langobardicus Bl\u00fcthgen, 1944 in Kuhlmann et al. (2020); Mudri-Stojni\u0107 (2018); Rafajlovi\u0107 and Sele\u0161i (1958). [LC]\u2e17 Halictus maculatus Smith, 1848 in Kuhlmann et al. (2020); Mudri-Stojni\u0107 (2018); Markov (2017); Markov et al. (2016); Mudri-Stojni\u0107 et al. (2012); Grozdani\u0107 (1972a); Petrik (1958); Rafajlovi\u0107 and Sele\u0161i (1958); Vorgin (1955); \u017divojinovi\u0107 (1950); Lebedev (1931); Mocs\u00e1ry (1897); Apfelbeck (1896); Korlevi\u0107 (1890); A\u0110 coll.; ZM coll. [LC]Halictus mucoreus Eversmann, 1852 in Vorgin ; Mocs\u00e1ry (1897). [DD]\u2e17 Halictus patellatus Morawitz, 1873 in Mudri-Stojni\u0107 (2018); Markov (2017); Markov et al. (2016); Mudri-Stojni\u0107 et al. (2012); Rafajlovi\u0107 and Sele\u0161i (1958); Vorgin (1955); Mocs\u00e1ry (1897); Apfelbeck (1896); AZ coll.; ZM coll. [LC]\u2e17 Halictus quadricinctus in Mudri-Stojni\u0107 (2018); Markov (2017); Markov et al. (2016); Mudri-Stojni\u0107 et al. (2012); Grozdani\u0107 ; Vasi\u0107 (1967); Grozdani\u0107 and Vasi\u0107 ; Rafajlovi\u0107 and Sele\u0161i (1958); Vorgin (1955); An\u0111elkovi\u0107 (1949); Lebedev (1931); Mocs\u00e1ry (1897); Apfelbeck (1896); as Halictus quadristrigatus Latreille, 1805 in Petrik (1958); Vorgin (1955); Korlevi\u0107 (1890). [NT]Halictus resurgens Nurse, 1903 as Halictus holtzi Schulz, 1906 in Lebedev (1931). [LC]\u2e17 Halictus rubicundus in Markov (2017); Markov et al. (2016); Rafajlovi\u0107 and Sele\u0161i (1958); Vorgin (1955); \u017divojinovi\u0107 (1950); Lebedev (1931); A\u0110 coll.; as Halictus quadrifasciatus Smith, 1870 in Mudri-Stojni\u0107 (2018). [LC]\u2e17 Halictus sajoi Bl\u00fcthgen, 1923 in Grozdani\u0107 (1971a); ZM coll.; as Halictus veneticus M\u00f3cz\u00e1r, 1967 in Rafajlovi\u0107 and Sele\u0161i (1958). [DD]\u2e17 Halictus scabiosae in Vasi\u0107 (1979a); Grozdani\u0107 ; Grozdani\u0107 and Vasi\u0107 ; Kruni\u0107 (1959); Vorgin (1955); Petrik (1958); Rafajlovi\u0107 and Sele\u0161i (1958); Lebedev (1931); Mocs\u00e1ry (1897); Apfelbeck (1896); ZM coll.; FSUNS. [LC]\u2e17 Halictus sexcinctus in Mudri-Stojni\u0107 (2018); Markov (2017); Markov et al. (2016); Grozdani\u0107 ; Petrik (1958); Rafajlovi\u0107 and Sele\u0161i (1958); \u017divojinovi\u0107 (1950); Lebedev (1931); Apfelbeck (1896); Mocs\u00e1ry (1897); Korlevi\u0107 (1890); AZ coll.; ZM coll. [LC]\u2e17 Halictus simplex Bl\u00fcthgen, 1923 in Kuhlmann et al. (2020); Mudri-Stojni\u0107 (2018); Mudri-Stojni\u0107 et al. (2012); Rafajlovi\u0107 and Sele\u0161i (1958); \u017divojinovi\u0107 (1950); A\u0110 coll.; AZ coll.; ZM coll. [LC]\u2e17 Halictus tetrazonius in Petrik (1958); Vorgin (1955); Mocs\u00e1ry (1897); Apfelbeck (1896); SG coll.; ZM coll. [DD]Lasioglossum Curtis, 1833 (72 species)Lasioglossum aeratum as Halictus viridiaeneus Bl\u00fcthgen, 1918 in Rafajlovi\u0107 and Sele\u0161i (1958); Vorgin (1955); as Halictus aeratus in Mocs\u00e1ry (1897). [LC]\u2e17 Lasioglossum albipes in Mudri-Stojni\u0107 (2018); Mudri-Stojni\u0107 et al. (2012); as Halictus albipes in Rafajlovi\u0107 and Sele\u0161i (1958); \u017divojinovi\u0107 (1950); Lebedev (1931); Mocs\u00e1ry (1897); as Halictus obovatus Kirby in Petrik (1958). [LC]\u25aa Lasioglossum alpigenum in Kuhlmann et al. (2020). [LC]\u25aa Lasioglossum angusticeps in Kuhlmann et al. (2020). [NT]\u25aa Lasioglossum apostoli Ebmer, 1970 in Kuhlmann et al. (2020). [DD]Lasioglossum bischoffi in Kuhlmann et al. (2020); as Halictus bischoffi Bl\u00fcthgen, 1931 in Rafajlovi\u0107 and Sele\u0161i (1958). [DD]\u2e17 Lasioglossum brevicorne in Markov (2017); Markov et al. (2016); A\u0110 coll.; ZM coll.; as Halictus brevicornis Schenck, 1870 [\u201c1869\u201d] in Rafajlovi\u0107 and Sele\u0161i (1958); Vorgin (1955). [NT]\u2e17 Lasioglossum calceatum in Kuhlmann et al. (2020); Mudri-Stojni\u0107 (2018); Markov (2017); Markov et al. (2016); A\u0110 coll.; as Halictus calceatus in Rafajlovi\u0107 and Sele\u0161i (1958); \u017divojinovi\u0107 (1950); Lebedev (1931); Mocs\u00e1ry (1897); Apfelbeck (1896); as Halictus cylindricus in Petrik (1958); Korlevi\u0107 (1890). [LC]\u2e17 Lasioglossum clypeare in Markov (2017); Markov et al. (2016); as Halictus clypearis in Vorgin (1955); \u017divojinovi\u0107 (1950); Lebedev (1931). [NT]Lasioglossum convexiusculum as Halictus convexiusculus in Rafajlovi\u0107 and Sele\u0161i (1958). [NT]Lasioglossum corvinum in Kuhlmann et al. (2020); as Halictus corvinus Morawitz, 1877 in Rafajlovi\u0107 and Sele\u0161i (1958); Lebedev (1931). [LC]Lasioglossum costulatum as Halictus costulatus Kriechbaumer, 1873 in Rafajlovi\u0107 and Sele\u0161i (1958); \u017divojinovi\u0107 (1950); Lebedev (1931); Mocs\u00e1ry (1897). [NT]\u2e17 Lasioglossum crassepunctatum in Kuhlmann et al. (2020); Mudri-Stojni\u0107 (2018); as Halictus crassepunctatus Bl\u00fcthgen, 1923 in Rafajlovi\u0107 and Sele\u0161i (1958); Vorgin (1955). [DD]\u2e17 Lasioglossum discum in Kuhlmann et al. (2020); Mudri-Stojni\u0107 (2018); Markov (2017); Markov et al. (2016); Mudri-Stojni\u0107 et al. (2012); ZM coll.; as Halictus morbillosus Kriechbaumer, 1873 in Grozdani\u0107 (1971b); Rafajlovi\u0107 and Sele\u0161i (1958); Vorgin (1955); \u017divojinovi\u0107 (1950); Lebedev (1931); Mocs\u00e1ry (1897); Apfelbeck (1896). [LC]Lasioglossum elegans in Kuhlmann et al. (2020); as Halictus elegans Lepeletier, 1841 in Rafajlovi\u0107 and Sele\u0161i (1958); Mocs\u00e1ry (1897). [DD]\u2e17 Lasioglossum euboeense as Halictus euboeensis Strand, 1909 in Rafajlovi\u0107 and Sele\u0161i (1958); Vorgin (1955); SG coll. [DD]\u2e17 Lasioglossum fratellum in Kuhlmann et al. (2020); A\u0110 coll.; ZM coll. [LC]\u2e17 Lasioglossum fulvicorne in A\u0110 coll.; as Halictus fulvicornis in Rafajlovi\u0107 and Sele\u0161i (1958); \u017divojinovi\u0107 (1950). [LC]\u2e17 Lasioglossum glabriusculum in Mudri-Stojni\u0107 (2018); Markov (2017); Markov et al. (2016); Mudri-Stojni\u0107 et al. (2012); as Halictus glabriusculus Morawitz, 1872 in Rafajlovi\u0107 and Sele\u0161i (1958); Vorgin (1955); \u017divojinovi\u0107 (1950); Lebedev (1931). [LC]Lasioglossum griseolum as Halictus griseolus Morawitz, 1872 in Rafajlovi\u0107 and Sele\u0161i (1958); Vorgin (1955). [LC]\u25aa Lasioglossum intermedium in Kuhlmann et al. (2020). [NT]\u2e17 Lasioglossum interruptum in Markov (2017); SG coll.; as Halictus interruptus in Grozdani\u0107 and Mu\u010dalica (1968b); Rafajlovi\u0107 and Sele\u0161i (1958); Vorgin (1955); Mocs\u00e1ry (1897); Apfelbeck (1896). [LC]\u25aa Lasioglossum kussariense in Kuhlmann et al. (2020). [DD]Lasioglossum laeve in Kuhlmann et al. (2020); as Halictus laevis in Vorgin (1918). [EN]Lasioglossum laevigatum in Kuhlmann et al. (2020); as Halictus laevigatus in Rafajlovi\u0107 and Sele\u0161i (1958); \u017divojinovi\u0107 (1950). [NT]\u2e17 Lasioglossum laticeps in Kuhlmann et al. (2020); Mudri-Stojni\u0107 (2018); Markov (2017); as Halictus laticeps Schenck, 1868 in Rafajlovi\u0107 and Sele\u0161i (1958); \u017divojinovi\u0107 (1950); Lebedev (1931). [LC]\u2e17 Lasioglossum lativentre in Kuhlmann et al. (2020); Mudri-Stojni\u0107 (2018); Mudri-Stojni\u0107 et al. (2012); ZM coll.; as Halictus lativentris Schenck, 1853 in Rafajlovi\u0107 and Sele\u0161i (1958); \u017divojinovi\u0107 (1950); Lebedev (1931). [LC]Lasioglossum leucopus in Kuhlmann et al. (2020); as Halictus leucopus in Rafajlovi\u0107 and Sele\u0161i (1958); \u017divojinovi\u0107 (1950). [LC]\u2e17 Lasioglossum leucozonium in Mudri-Stojni\u0107 (2018); Markov (2017); Mudri-Stojni\u0107 et al. (2012); A\u0110 coll.; ZM coll.; as Halictus leucozonius in Grozdani\u0107 (1971b); Rafajlovi\u0107 and Sele\u0161i (1958); Vorgin ; \u017divojinovi\u0107 (1950); Lebedev (1931); Mocs\u00e1ry (1897); Apfelbeck (1896). [LC]Lasioglossum limbellum in Kuhlmann et al. (2020); as Halictus limbellus Morawitz, 1876 in Rafajlovi\u0107 and Sele\u0161i (1958). [DD]\u2e17 Lasioglossum lineare in Mudri-Stojni\u0107 (2018); Markov (2017); Markov et al. (2016); SG coll.; as Halictus linearis Schenck, 1868 in Grozdani\u0107 (1971b); Grozdani\u0107 and Vasi\u0107 (1966a); Rafajlovi\u0107 and Sele\u0161i (1958); Vorgin (1955); \u017divojinovi\u0107 (1950); Lebedev (1931). [DD]\u25aa Lasioglossum lissonotum in Kuhlmann et al. (2020). [DD]Lasioglossum lucidulum in Kuhlmann et al. (2020); as Halictus lucidulus in Rafajlovi\u0107 and Sele\u0161i (1958); Vorgin (1955). [LC]\u2e17 Lasioglossum majus in Kuhlmann et al. (2020); Markov (2017); Markov et al. (2016); A\u0110 coll.; as Halictus major Nylander, 1852 in Rafajlovi\u0107 and Sele\u0161i (1958); \u017divojinovi\u0107 (1950); Lebedev (1931); Vorgin (1918). [NT]Lasioglossum mandibulare in Kuhlmann et al. (2020); as Halictus mandibularis Morawitz, 1866 in Rafajlovi\u0107 and Sele\u0161i (1958); Vorgin (1955). [NT]\u2e17 Lasioglossum malachurum in Mudri-Stojni\u0107 (2018); Markov (2017); Markov et al. (2016); Mudri-Stojni\u0107 et al. (2012); SG coll.; as Halictus malachurus in Grozdani\u0107 ; Grozdani\u0107 and Vasi\u0107 ; Kruni\u0107 (1959); Rafajlovi\u0107 and Sele\u0161i (1958); Vorgin (1955); \u017divojinovi\u0107 (1950); Lebedev (1931). [LC]\u2e17 Lasioglossum marginatum in Kuhlmann et al. (2020); Mudri-Stojni\u0107 (2018); Markov (2017); Markov et al. (2016); ZM coll.; as Halictus marginatus Brull\u00e9, 1832 in Vasi\u0107 ; Grozdani\u0107 ; Grozdani\u0107 and Vasi\u0107 (1965c); Kruni\u0107 (1959); Rafajlovi\u0107 and Sele\u0161i (1958); Vorgin (1955); Lebedev (1931); as Halictus fasciatellus Schenck, 1868 in Vorgin (1955); Mocs\u00e1ry (1897); Apfelbeck (1896). [LC]\u25aa Lasioglossum marginellum in Kuhlmann et al. (2020). [NT]Lasioglossum mesosclerum in Kuhlmann et al. (2020); as Halictus mesosclerus P\u00e9rez, 1903 in Rafajlovi\u0107 and Sele\u0161i (1958); Vorgin (1955). [DD]Lasioglossum minutissimum in Kuhlmann et al. (2020); as Halictus minutissimus in Rafajlovi\u0107 and Sele\u0161i (1958). [LC]Lasioglossum minutulum as Halictus minutulus in Rafajlovi\u0107 and Sele\u0161i (1958); \u017divojinovi\u0107 (1950). [NT]\u2e17 Lasioglossum morio in Kuhlmann et al. (2020); A\u0110 coll.; as Halictus morio in Rafajlovi\u0107 and Sele\u0161i (1958); Vorgin (1955); \u017divojinovi\u0107 (1950); Lebedev (1931); Mocs\u00e1ry (1897); Apfelbeck (1896). [LC]\u2e17 Lasioglossum nigripes in Kuhlmann et al. (2020); Mudri-Stojni\u0107 (2018); Markov (2017); Markov et al. (2016); ZM coll.; as Halictus nigripes Lepeletier, 1841 in Vasi\u0107 (1979b); Grozdani\u0107 and Vasi\u0107 (1966a); Vorgin (1955); \u017divojinovi\u0107 (1950); Lebedev (1931); as Halictus vulpinus Nylander, 1853 in Rafajlovi\u0107 and Sele\u0161i (1958); Mocs\u00e1ry (1897). [LC]\u2e17 Lasioglossum nitidiusculum in Kuhlmann et al. (2020); A\u0110 coll.; as Halictus nitidiusculus in Rafajlovi\u0107 and Sele\u0161i (1958); Lebedev (1931). [LC]Lasioglossum nitidulum as Halictus aeneidorsum Alfken, 1921 in Rafajlovi\u0107 and Sele\u0161i (1958); Vorgin (1955). [LC]\u2e17 Lasioglossum obscuratum in Kuhlmann et al. (2020); ZM coll.; as Halictus obscuratus Morawitz, 1876 in Rafajlovi\u0107 and Sele\u0161i (1958); \u017divojinovi\u0107 (1950); Mocs\u00e1ry (1897). [DD]\u2e17 Lasioglossum pallens in Kuhlmann et al. (2020); Markov (2017); Markov et al. (2016); as Halictus lineolatus Lepeletier, 1841 in Mocs\u00e1ry (1897). [LC]Lasioglossum parvulum in Kuhlmann et al. (2020); as Halictus minutus in Rafajlovi\u0107 and Sele\u0161i (1958); \u017divojinovi\u0107 (1950). [LC]\u2e17 Lasioglossum pauxillum in Mudri-Stojni\u0107 (2018); Markov (2017); Markov et al. (2016); Mudri-Stojni\u0107 et al. (2012); A\u0110 coll.; as Halictus pauxillus in Rafajlovi\u0107 and Sele\u0161i (1958); \u017divojinovi\u0107 (1950); Lebedev (1931). [LC]\u2e17 Lasioglossum politum in Markov (2017); Markov et al. (2016); as Halictus politus in Rafajlovi\u0107 and Sele\u0161i (1958); Vorgin ; \u017divojinovi\u0107 (1950); Lebedev (1931). [LC]\u25aa Lasioglossum pseudocaspicum in Kuhlmann et al. (2020). [DD]Lasioglossum punctatissimum in Kuhlmann et al. (2020); as Halictus punctatissimus in Lebedev (1931). [LC]\u2e17 Lasioglossum puncticolle in Kuhlmann et al. (2020); Mudri-Stojni\u0107 (2018); Markov (2017); Markov et al. (2016); as Halictus puncticollis Morawitz, 1872 in Rafajlovi\u0107 and Sele\u0161i (1958); Lebedev (1931). [LC]\u2e17 Lasioglossum pygmaeum in Markov (2017); Markov et al. (2016); ZM coll.; as Halictus pygmaeus in Rafajlovi\u0107 and Sele\u0161i (1958); Vorgin (1955). [NT]Lasioglossum quadrinotatulum in Kuhlmann et al. (2020); as Halictus quadrinotatulus in Rafajlovi\u0107 and Sele\u0161i (1958); Vorgin (1955). [NT]Lasioglossum quadrinotatum in Kuhlmann et al. (2020); as Halictus quadrinotatus in Vorgin (1955); Apfelbeck (1896). [NT]\u25aa Lasioglossum rufitarse in Kuhlmann et al. (2020). [LC]Lasioglossum semilucens in Kuhlmann et al. (2020); as Halictus semilucens Alfken, 1914 in Rafajlovi\u0107 and Sele\u0161i (1958). [LC]Lasioglossum setulellum as Halictus setulellus Strand, 1909 in Vorgin (1955). [NT]\u25aa Lasioglossum setulosum in Kuhlmann et al. (2020). [NT]\u2e17 Lasioglossum sexnotatum in Kuhlmann et al. (2020); A\u0110 coll.; as Halictus sexnotatus in Vorgin (1918); Mocs\u00e1ry (1897). [NT]\u2e17 Lasioglossum sexstrigatum in ZM coll.; as Halictus sexstrigatus Schenck, 1870[\u201c1869\u201d] in Rafajlovi\u0107 and Sele\u0161i (1958); Vorgin (1955). [LC]Lasioglossum smeathmanellum as Halictus smeathmanellus K. in Rafajlovi\u0107 and Sele\u0161i (1958); Vorgin ; \u017divojinovi\u0107 (1950); Apfelbeck (1896). [LC]Lasioglossum subfasciatum as Halictus subfasciatus in Lebedev (1931). [EN]\u25aa Lasioglossum subfulvicorne in Kuhlmann et al. (2020). [LC]Lasioglossum tarsatum as Halictus tarsatus Schenck, 1868 in Rafajlovi\u0107 and Sele\u0161i (1958); Vorgin (1955). [NT]\u2e17 Lasioglossum trichopygum in ZM coll.; as Halictus trichopygus Bl\u00fcthgen, 1923 in Rafajlovi\u0107 and Sele\u0161i (1958); Grozdani\u0107 (1966); Grozdani\u0107 and Vasi\u0107 (1966a). [DD]Lasioglossum tricinctum in Kuhlmann et al. (2020); as Halictus tricinctus Schenck, 1874 in \u017divojinovi\u0107 (1950). [DD]\u2e17 Lasioglossum truncaticolle in Mudri-Stojni\u0107 (2018); Markov (2017); Markov et al. (2016); as Halictus truncaticollis Morawitz, 1877[\u201c1878\u201d] in Vorgin (1955); Lebedev (1931). [DD]\u2e17 Lasioglossum villosulum in Kuhlmann et al. (2020); Mudri-Stojni\u0107 (2018); Markov (2017); Markov et al. (2016); SG coll.; as Halictus villosulus Kirby, 1802 in Rafajlovi\u0107 and Sele\u0161i (1958); Vorgin (1955); Lebedev (1931); Apfelbeck (1896). [LC]\u2e17 Lasioglossum xanthopus in Kuhlmann et al. (2020); Mudri-Stojni\u0107 (2018); as Halictus xanthopus in Petrik (1958); Rafajlovi\u0107 and Sele\u0161i (1958); Vorgin ; Lebedev (1931); Mocs\u00e1ry (1897); as Lasioglossum xanthopum in ZM coll. [NT]Lasioglossum zonulum as Halictus zonulus Smith, 1848 in Petrik (1958); Rafajlovi\u0107 and Sele\u0161i (1958); Vorgin ; Lebedev (1931); Mocs\u00e1ry (1897); Apfelbeck (1896). [LC]Nomiapis Cockerell, 1919 (3 species)\u2e17 Nomiapis bispinosa as Nomia ruficornis Spinola, 1839 in Grozdani\u0107 (1971b); Petrik (1958); Rafajlovi\u0107 and Sele\u0161i (1958); Lebedev (1931); Mocs\u00e1ry (1897); as Nomia unidentata Oliver, 1812 in Mudri-Stojni\u0107 (2018). [LC]\u2e17 Nomiapis diversipes in Mudri-Stojni\u0107 (2018); ZM coll.; as Nomia diversipes Latreille, 1806 in Markov (2017); Mudri-Stojni\u0107 et al. (2012); Rafajlovi\u0107 and Sele\u0161i (1958); Lebedev (1931); Mocs\u00e1ry (1897); Apfelbeck (1896); AZ coll.; as Pseudapis diversipes in Markov et al. (2016). [LC]\u2e17 Nomiapis femoralis in Kuhlmann et al. (2020); ZM coll.; as Nomia femoralis in Petrik (1958); Rafajlovi\u0107 and Sele\u0161i (1958); Mocs\u00e1ry (1897). [DD]Nomioides Schenck, 1867 (1 species)Nomioides minutissimus in Kuhlmann et al. (2020); Rafajlovi\u0107 and Sele\u0161i (1958); as Nomioides pulchellus Schenck, 1859 in Mocs\u00e1ry (1897). [LC]Rhophitoides Schenck, 1861 (1 species)\u2e17 Rhophitoides canus in Kuhlmann et al. (2020); Mudri-Stojni\u0107 (2018); Mudri-Stojni\u0107 et al. (2012); as Rophites canus Eversmann, 1852 in Rafajlovi\u0107 and Sele\u0161i (1958); Vorgin (1918); Mocs\u00e1ry (1897); Apfelbeck (1896); ZM coll. [LC]Rophites Spinola, 1808 (2 species)\u2e17 Rophites hartmanni Friese, 1902 in Markov (2017); Markov et al. (2016); Rafajlovi\u0107 and Sele\u0161i (1958); Vorgin (1918); AZ coll. [DD]\u2e17 Rophites quinquespinosus Spinola, 1808 in Mudri-Stojni\u0107 (2018); Mudri-Stojni\u0107 et al. (2012); Grozdani\u0107 (1971b); Rafajlovi\u0107 and Sele\u0161i (1958); Lebedev (1931); Apfelbeck (1896); Mocs\u00e1ry (1897); ZM coll. [NT]Seladonia Robertson, 1918 (8 species)Seladonia confusa as Halictus perkinsi Bl\u00fcthgen, 1926 in Rafajlovi\u0107 and Sele\u0161i (1958); Vorgin (1955); \u017divojinovi\u0107 (1950). [LC]\u25aa Seladonia gavarnica as Halictus gavarnicus P\u00e9rez, 1903 in Kuhlmann et al. (2020). [LC]\u2e17 Seladonia kessleri as Halictus kessleri Bramson, 1879 in Mudri-Stojni\u0107 (2018); Markov (2017); Markov et al. (2016); Mudri-Stojni\u0107 et al. (2012); Vasi\u0107 (1979b); Grozdani\u0107 ; Grozdani\u0107 and Vasi\u0107 (1966a); Rafajlovi\u0107 and Sele\u0161i (1958); Lebedev (1931); ZM coll. [LC]\u2e17 Seladonia seladonia as Halictus seladonius in Markov (2017); Markov et al. (2016); as Halictus geminatus P\u00e9rez, 1903 in Rafajlovi\u0107 and Sele\u0161i (1958); Vorgin (1955); \u017divojinovi\u0107 (1950). [LC]\u2e17 Seladonia semitecta as Halictus semitectus Morawitz, 1874 in Kuhlmann et al. (2020); Mudri-Stojni\u0107 (2018); Mudri-Stojni\u0107 et al. (2012); Rafajlovi\u0107 and Sele\u0161i (1958); Vorgin (1955); Mocs\u00e1ry (1897). [EN]\u2e17 Seladonia smaragdula as Halictus smaragdulus Vachal, 1895 in Markov (2017); Markov et al. (2016); Rafajlovi\u0107 and Sele\u0161i (1958); Vorgin (1955); AZ coll. [LC]\u2e17 Seladonia subaurata as Halictus subauratus in Kuhlmann et al. (2020); Mudri-Stojni\u0107 (2018); Markov (2017); Markov et al. (2016); Mudri-Stojni\u0107 et al. (2012); Rafajlovi\u0107 and Sele\u0161i (1958); \u017divojinovi\u0107 (1950); Lebedev (1931); AZ coll.; as Halictus gramineus Smith, 1849 in Petrik (1958); as Halictus virescens Lepeletier, 1841 in Vorgin (1955); Mocs\u00e1ry (1897); Apfelbeck (1896). [LC]\u2e17 Seladonia tumulorum as Halictus tumulorum in Lebedev (1931); Apfelbeck (1896); A\u0110 coll.; as Halictus fasciatus Nylander, 1848 in Rafajlovi\u0107 and Sele\u0161i (1958); Vorgin (1955); Lebedev (1931). [LC]Sphecodes Latreille, 1802 (25 species)\u2e17 Sphecodes albilabris Fabricius, 1793 in Kuhlmann et al. (2020); Markov (2017); Markov et al. (2016); ZM coll.; as Sphecodes fuscipennis in Petrik (1958); Rafajlovi\u0107 and Sele\u0161i (1958); Mocs\u00e1ry (1897); Apfelbeck (1896). [LC]\u2e17 Sphecodes alternatus Smith, 1853 in Kuhlmann et al. (2020); Mudri-Stojni\u0107 (2018); Mudri-Stojni\u0107 et al. (2012). [LC]Sphecodes crassus Thomson, 1870 in Kuhlmann et al. (2020); as Sphecodes divisus Hagens, 1882 in \u017divojinovi\u0107 (1950); Rafajlovi\u0107 and Sele\u0161i (1958). [LC]Sphecodes cristatus Hagens, 1882 in Kuhlmann et al. (2020); Rafajlovi\u0107 and Sele\u0161i (1958). Note: Bogusch and Straka (2012) reported this species as absent on Balkan Peninsula. [NT]\u25aa Sphecodes croaticus Meyer, 1922 in Kuhlmann et al. (2020). [NT]\u2e17 Sphecodes ephippius Linnaeus, 1767 in Kuhlmann et al. (2020); Vorgin (1918); A\u0110 coll.; ZM coll.; as Sphecodes similis Wesmael, 1836 in Apfelbeck (1896). [LC]Sphecodes ferruginatus Hagens, 1882 in Kuhlmann et al. (2020); Lebedev (1931); as Sphecodes rufescens Hagens, 1874 in Apfelbeck (1896). [LC]Sphecodes geoffrellus Kirby, 1802 in Kuhlmann et al. (2020); as Sphecodes fasciatus Hagens, 1882 in \u017divojinovi\u0107 (1950). [LC]\u2e17 Sphecodes gibbus Linnaeus, 1758 in Kuhlmann et al. (2020); Mudri-Stojni\u0107 (2018); Rafajlovi\u0107 and Sele\u0161i (1958); \u017divojinovi\u0107 (1950); Lebedev (1931); Vorgin (1918); Mocs\u00e1ry (1897); Apfelbeck (1896). [LC]\u25aa Sphecodes hyalinatus Hagens, 1882 in Kuhlmann et al. (2020). [NT]\u2e17 Sphecodes longulus Hagens, 1882 in Kuhlmann et al. (2020); Markov (2017); Markov et al. (2016); Rafajlovi\u0107 and Sele\u0161i (1958). [LC]\u25aa Sphecodes majalis P\u00e9rez, 1903 in Kuhlmann et al. (2020). [NT]\u2e17 Sphecodes miniatus Hagens, 1882 in Kuhlmann et al. (2020); A\u0110 coll. [LC]\u2e17 Sphecodes monilicornis Kirby, 1802 in Kuhlmann et al. (2020); Mudri-Stojni\u0107 (2018); Markov (2017); Markov et al. (2016); Grozdani\u0107 (1971b); Rafajlovi\u0107 and Sele\u0161i (1958); \u017divojinovi\u0107 (1950); Lebedev (1931); as Sphecodes subquadratus Smith, 1845 in Vorgin (1918); Mocs\u00e1ry (1897); Apfelbeck (1896). [LC]Sphecodes niger Hagens, 1874 in Kuhlmann et al. (2020); Rafajlovi\u0107 and Sele\u0161i (1958). [LC]\u2e17 Sphecodes pellucidus Smith, 1845 in Kuhlmann et al. (2020); Markov (2017); Markov et al. (2016); Rafajlovi\u0107 and Sele\u0161i (1958); \u017divojinovi\u0107 (1950); A\u0110 coll. [LC]\u25aa Sphecodes pseudofasciatus Bl\u00fcthgen, 1925 in Kuhlmann et al. (2020). [DD]Sphecodes puncticeps Thomson, 1870 in Kuhlmann et al. (2020); Rafajlovi\u0107 and Sele\u0161i (1958); \u017divojinovi\u0107 (1950). [LC]Sphecodes reticulatus Thomson, 1870 in Kuhlmann et al. (2020); Rafajlovi\u0107 and Sele\u0161i (1958); Lebedev (1931); Mocs\u00e1ry (1897). [LC]Sphecodes rubicundus Hagens, 1875 in Lebedev (1931). [NT]Sphecodes rufiventris Panzer, 1798 in Kuhlmann et al. (2020); Mocs\u00e1ry (1897); as Sphecodes subovalis Schenck, 1853 in Rafajlovi\u0107 and Sele\u0161i (1958); Lebedev (1931). [LC]Sphecodes scabricollis Wesmael, 1835 in Kuhlmann et al. (2020); Rafajlovi\u0107 and Sele\u0161i (1958). [DD]\u2e17 Sphecodes schenckii Hagens, 1882 in Grozdani\u0107 (1971b); Rafajlovi\u0107 and Sele\u0161i (1958); ZM coll. [NT]\u25aa Sphecodes spinulosus Hagens, 1875 in Kuhlmann et al. (2020). [NT]\u25aa Sphecodes zangherii Noskiewicz, 1931 in Kuhlmann et al. (2020). Note: Bogusch and Straka (2012) stated that the distribution of this species is poorly known due the taxonomical problems in the past, as many specimens of this species were missidentified S. croaticus. [DD]Systropha Illiger, 1805 (2 species)\u2e17 Systropha curvicornis in Mudri-Stojni\u0107 (2018); Markov (2017); Markov et al. (2016); Grozdani\u0107 (1971b); Grozdani\u0107 and Mu\u010dalica (1966); Rafajlovi\u0107 and Sele\u0161i (1958); \u017divojinovi\u0107 (1950); Lebedev (1931); Vorgin (1918), Mocs\u00e1ry (1897); ZM coll. [NT]\u2e17 Systropha planidens Giraud, 1861 in Mudri-Stojni\u0107 (2018); Markov (2017); Markov et al. (2016); Grozdani\u0107 (1971b); Grozdani\u0107 and Vasi\u0107 (1968); Grozdani\u0107 and Mu\u010dalica (1966); Vorgin (1918); Mocs\u00e1ry (1897); Apfelbeck (1896); SG coll. [VU]Vestitohalictus Bl\u00fcthgen, 1961 (2 species)\u2e17 Vestitohalictus pollinosus as Halictus pollinosus Sichel, 1860 in Mudri-Stojni\u0107 (2018); Markov (2017); Markov et al. (2016); Mudri-Stojni\u0107 et al. (2012); Petrik (1958); Rafajlovi\u0107 and Sele\u0161i (1958); as Halictus carinaeventris Fahringer & Friese, 1921 in Mocs\u00e1ry (1897). [LC]\u2e17 Vestitohalictus vestitus as Halictus vestitus Lepeletier, 1841 in Rafajlovi\u0107 and Sele\u0161i (1958); Vorgin (1955); ZM coll. [LC]Aglaoapis Cameron, 1901 (1 species)Aglaoapis tridentata as Dioxoides tridentata in Stanisavljevi\u0107 (2000). [LC]Anthidiellum Cockerell, 1904 (1 species)Anthidiellum strigatum Panzer, 1805 in Kuhlmann et al. (2020); Stanisavljevi\u0107 (2000); as Anthidium strigatum in Rafajlovi\u0107 and Sele\u0161i (1958); Vorgin (1955); Mocs\u00e1ry (1897). [LC]Anthidium Fabricius, 1804 (12 species)Anthidium cingulatum Latreille, 1809 in Kuhlmann et al. (2020); Stanisavljevi\u0107 (2000); Rafajlovi\u0107 and Sele\u0161i (1958); Vorgin (1955); Lebedev (1931); Mocs\u00e1ry (1897). [LC]\u25aa Anthidium diadema Latreille, 1809 in Kuhlmann et al. (2020). [DD]\u2e17 Anthidium florentinum Fabricius, 1775 in Kuhlmann et al. (2020); Mudri-Stojni\u0107 (2018); Stanisavljevi\u0107 (2000); Rafajlovi\u0107 and Sele\u0161i (1958); Vorgin (1918); Mocs\u00e1ry (1897). [LC]Anthidium loti Perris, 1852 in Kuhlmann et al. (2020); Stanisavljevi\u0107 (2000); as Anthidium variegatum in Rafajlovi\u0107 and Sele\u0161i (1958). [DD]\u2e17 Anthidium manicatum Linnaeus, 1758 in Kuhlmann et al. (2020); Mudri-Stojni\u0107 (2018); Markov (2017); Markov et al. (2016); Mudri-Stojni\u0107 et al. (2012); Stanisavljevi\u0107 (2000); Grozdani\u0107 and Vasi\u0107 (1966a); Petrik (1958); Rafajlovi\u0107 and Sele\u0161i (1958); \u017divojinovi\u0107 (1950); Lebedev (1931); Apfelbeck (1896). [LC]\u25aa Anthidium montanum Morawitz, 1864 in Kuhlmann et al. (2020). [NT]\u2e17 Anthidium oblongatum Illiger, 1806 in Kuhlmann et al. (2020); Markov (2017); Markov et al. (2016); Kruni\u0107 et al. (1988); Rafajlovi\u0107 and Sele\u0161i (1958); Vorgin (1918); Mocs\u00e1ry (1897); A\u0110 coll.; as Proanthidium oblongatum in Stanisavljevi\u0107 (2000) [LC]\u2e17 Anthidium punctatum Latreille, 1809 in Kuhlmann et al. (2020); Markov (2017); Stanisavljevi\u0107 (2000); Rafajlovi\u0107 and Sele\u0161i (1958); \u017divojinovi\u0107 (1950); Mocs\u00e1ry (1897). [LC]Anthidium septemspinosum Lepeletier, 1841 in Kuhlmann et al. (2020); Stanisavljevi\u0107 (2000); Vorgin (1918). [DD]\u25aa Anthidium taeniatum Latreille, 1809 in Kuhlmann et al. (2020). [DD]\u25aa Anthidium undulatiforme Friese, 1917 in Kuhlmann et al. (2020). [NT]\u25aa Anthidium undulatum Dours, 1873 in Kuhlmann et al. (2020). [LC]Chelostoma Latreille, 1809 (12 species)\u2e17 Chelostoma campanularum Kirby, 1802 in Stanisavljevi\u0107 (2000); A\u0110 coll. [LC]Chelostoma distinctum Stoeckhert, 1929 in Kuhlmann et al. (2020); Stanisavljevi\u0107 (2000); as Eriades distinctus Stoeckhert, 1929 in \u017divojinovi\u0107 (1950). [LC]\u2e17 Chelostoma emarginatum Nylander, 1856 in Kuhlmann et al. (2020); A\u0110 coll.; also as Chelostoma appendiculatum in Stanisavljevi\u0107 (2000); as Eriades emarginatus Nylander, 1856 and also as Eriades appendiculatus in Vorgin (1918). [LC]\u2e17 Chelostoma florisomne Linnaeus, 1758 in Kuhlmann et al. (2020); Stanisavljevi\u0107 (2000); A\u0110 coll.; SG coll.; as Chelostoma florisomnis in Mocs\u00e1ry (1897); as Eriades maxillosus in Rafajlovi\u0107 and Sele\u0161i (1958); \u017divojinovi\u0107 (1950); as Eriades florisomnis Spinola in Vorgin (1918); Apfelbeck (1896). [LC]\u25aa Chelostoma foveolatum Morawitz, 1868 in Kuhlmann et al. (2020). [LC]\u25aa Chelostoma grande Nylander, 1852 in Kuhlmann et al. (2020). [DD]Chelostoma handlirschi Schletterer, 1889 as Eriades handlirschi in Rafajlovi\u0107 and Sele\u0161i (1958); Lebedev (1931). Note: According to M\u00fcller (2015) there are possible errors in older literature records regarding identification and distribution (\u201cReliable records exist only for Romania and Bulgaria\u201d) of this species. [DD]\u25aa Chelostoma mocsaryi Schletterer, 1889 in Kuhlmann et al. (2020). [LC]\u2e17 Chelostoma nasutum P\u00e9rez, 1895 New material examined: 1 \u2640; Vlasina Rid; 42.7253\u00b0N, 22.3284\u00b0E; 22\u201323 Jul. 2019; A. \u0110uki\u0107 leg.; Jelle Devalez det.; A\u0110 coll. [LC]\u2e17 Chelostoma rapunculi Lepeletier, 1841 in Kuhlmann et al. (2020); Stanisavljevi\u0107 (2000); A\u0110 coll.; as Eriades nigricornis Nylander, 1848 in Rafajlovi\u0107 and Sele\u0161i (1958); Lebedev (1931). [LC]\u25aa Chelostoma styriacum Schwarz & Gusenleitner, 1999 in Kuhlmann et al. (2020). [LC]\u25aa Chelostoma ventrale Schletterer, 1889 in Kuhlmann et al. (2020). [LC]Coelioxys Latreille, 1809 (17 species)\u25aa Coelioxys acanthura Illiger, 1806 in Kuhlmann et al. (2020). [DD]\u2e17 Coelioxys afer Lepeletier, 1841 as Coelioxys afra Lepeletier, 1841 in Kuhlmann et al. (2020); Stanisavljevi\u0107 (2000); Rafajlovi\u0107 and Sele\u0161i (1958); Lebedev (1931); Vorgin (1918); Mocs\u00e1ry (1897); A\u0110 coll.; SG coll.; as Coelioxys coronata F\u00f6rster, 1853 in Petrik (1958). [LC]Coelioxys alatus F\u00f6rster, 1853 as Coelioxys alata F\u00f6rster, 1853 in Kuhlmann et al. (2020); Stanisavljevi\u0107 (2000); \u017divojinovi\u0107 (1950). [LC]\u2e17 Coelioxys argenteus Lepeletier, 1841 as Coelioxys argentea Lepeletier, 1841 in Kuhlmann et al. (2020); Stanisavljevi\u0107 (2000); ZM coll. [LC]\u2e17 Coelioxys aurolimbatus F\u00f6rster, 1853 as Coelioxys aurolimbata F\u00f6rster, 1853 in Kuhlmann et al. (2020); Stanisavljevi\u0107 (2000); Rafajlovi\u0107 and Sele\u0161i (1958); Lebedev (1931); Vorgin (1918); FSUNS. [LC]Coelioxys brevis Eversmann, 1852 in Stanisavljevi\u0107 (2000); Rafajlovi\u0107 and Sele\u0161i (1958); as Coelioxys erythropyga F\u00f6rster, 1853 in Petrik (1958); Mocs\u00e1ry (1897). [LC]Coelioxys conoideus as Coelioxys conoidea Illiger, 1806 in Kuhlmann et al. (2020); Stanisavljevi\u0107 (2000); Rafajlovi\u0107 and Sele\u0161i (1958); \u017divojinovi\u0107 (1950). [LC]Coelioxys echinatus F\u00f6rster, 1853 as Coelioxys echinata F\u00f6rster, 1853 in Kuhlmann et al. (2020); Stanisavljevi\u0107 (2000); as Coelioxys rufocaudata Smith, 1854 in Rafajlovi\u0107 and Sele\u0161i (1958); Mocs\u00e1ry (1897). [LC]\u2e17 Coelioxys elongatus Lepeletier, 1841 as Coelioxys elongata Lepeletier, 1841 in Kuhlmann et al. (2020); ZM coll. [LC]Coelioxys emarginatus F\u00f6rster, 1853 as Coelioxys emarginata F\u00f6rster, 1853 in Stanisavljevi\u0107 (2000); Petrik (1958); Rafajlovi\u0107 and Sele\u0161i (1958); Mocs\u00e1ry (1897). [LC]Coelioxys haemorrhoa F\u00f6rster, 1853 in Stanisavljevi\u0107 (2000); \u017divojinovi\u0107 (1950). [LC]Coelioxys inermis Kirby, 1802 in Kuhlmann et al. (2020); Stanisavljevi\u0107 (2000); as Coelioxys acuminata Nylander, 1852 in Rafajlovi\u0107 and Sele\u0161i (1958); \u017divojinovi\u0107 (1950); Lebedev (1931). [LC]Coelioxys mandibularis Nylander, 1848 in Kuhlmann et al. (2020); Stanisavljevi\u0107 (2000). [LC]\u2e17 Coelioxys obtusus P\u00e9rez, 1884 as Coelioxys obtusa P\u00e9rez, 1884 in Kuhlmann et al. (2020); Stanisavljevi\u0107 (2000); SG coll. [LC]\u2e17 Coelioxys polycentris F\u00f6rster, 1853 in Kuhlmann et al. (2020); Stanisavljevi\u0107 (2000); Petrik (1958); Rafajlovi\u0107 and Sele\u0161i (1958); Vorgin (1918); Mocs\u00e1ry (1897); SG coll. [LC]\u2e17 Coelioxys quadridentatus in Kruni\u0107 et al. (1988); ZM coll.; as Coelioxys quadridentata in Kuhlmann et al. (2020); Stanisavljevi\u0107 (2000). [LC]\u2e17 Coelioxys rufescens Lepeletier and Audinet-Serville, 1825 in Kuhlmann et al. (2020); Stanisavljevi\u0107 (2000); Rafajlovi\u0107 and Sele\u0161i (1958); \u017divojinovi\u0107 (1950); Lebedev (1931); Vorgin (1918); Mocs\u00e1ry (1897); ZM coll. [LC]Heriades Spinola, 1808 (2 species)\u2e17 Heriades crenulata Nylander, 1856 in Kuhlmann et al. (2020); as Heriades crenulatus Nylander, 1856 in Mudri-Stojni\u0107 (2018); Mudri-Stojni\u0107 et al. (2012); Stanisavljevi\u0107 (2000); Kruni\u0107 et al. (1988); as Eriades crenulatus in Rafajlovi\u0107 and Sele\u0161i (1958); Vorgin (1955); Mocs\u00e1ry (1897). [LC]\u2e17 Heriades truncorum Linnaeus, 1758 in Stanisavljevi\u0107 (2000); \u017divojinovi\u0107 (1950); Lebedev (1931); A\u0110 coll.; FSUNS; as Eriades truncorum (Linnaeus) in Rafajlovi\u0107 and Sele\u0161i (1958); Mocs\u00e1ry (1897). [LC]Hofferia Tkalc\u016f, 1984 (1 species)Hofferia schmiedeknechti Schletterer, 1889 in Stanisavljevi\u0107 (2000). [LC]Hoplitis Klug, 1807 (17 species)Hoplitis acuticornis Dufour & Perris, 1840 in Stanisavljevi\u0107 (2000); as Osmia acuticornis Dufour & Perris, 1840 in Rafajlovi\u0107 and Sele\u0161i (1958). [LC]\u2e17 Hoplitis adunca Panzer, 1798 in Kuhlmann et al. (2020); Markov (2017); Stanisavljevi\u0107 (2000); A\u0110 coll.; as Hoplites in Kruni\u0107 et al. (1988); as Osmia adunca in Petrik (1958); Rafajlovi\u0107 and Sele\u0161i (1958); \u017divojinovi\u0107 (1950); as Osmia spinolae Lepeletier, 1841 in Mocs\u00e1ry (1897). [LC]Hoplitis anthocopoides Schenck, 1853 in Stanisavljevi\u0107 (2000); as Osmia caementaria Gerst\u00e4cker, 1869 in Rafajlovi\u0107 and Sele\u0161i (1958). [LC]* Hoplitis bisulca Gerst\u00e4cker, 1869 as Osmia bisulca Gerst\u00e4cker, 1869 in Mocs\u00e1ry (1897). [LC]\u25aa Hoplitis campanularis Morawitz, 1877 in Kuhlmann et al. (2020). [LC]\u2e17 Hoplitis claviventris New material examined: 1 \u2640; Vlasina Rid; 42.7253\u00b0N, 22.3284\u00b0E; 21 Jul. 2019; A. \u0110uki\u0107 leg.; Andrej Gogala det.; A\u0110 coll. [LC]\u2e17 Hoplitis dalmatica Morawitz, 1871 in SG coll.; as Anthocopa dalmatica in Stanisavljevi\u0107 (2000); as Osmia dalmatica Morawitz, 1871 in \u017divojinovi\u0107 (1950). [LC]\u25aa Hoplitis illyrica Noskiewicz, 1926 in Kuhlmann et al. (2020). [LC]\u2e17 Hoplitis laevifrons Morawitz, 1872 in Kuhlmann et al. (2020); ZM coll. [LC]\u2e17 Hoplitis lepeletieri P\u00e9rez, 1879 in Stanisavljevi\u0107 (2000); SG coll. [LC]\u2e17 Hoplitis leucomelana Kirby, 1802 in Stanisavljevi\u0107 (2000); A\u0110 coll.; SG coll.; as Osmia parvula Dufour & Perris, 1840 in Rafajlovi\u0107 and Sele\u0161i (1958). [LC]\u2e17 Hoplitis loti Morawitz, 1867 in Stanisavljevi\u0107 (2000); SG coll. [LC]Hoplitis manicata Morice, 1901 in Kuhlmann et al. (2020); Stanisavljevi\u0107 (2000); as Hoplites in Kruni\u0107 et al. (1988). [LC]\u25aa Hoplitis perezi Ferton, 1895 in Kuhlmann et al. (2020). [LC]\u25aa Hoplitis praestans Morawitz, 1893 in Kuhlmann et al. (2020). [LC]\u2e17 Hoplitis tridentata Dufour & Perris, 1840 in Stanisavljevi\u0107 (2000); SG coll. [LC]\u2e17 Hoplitis tuberculata Nylander, 1848 in Stanisavljevi\u0107 (2000); SG coll. [LC]Icteranthidium Michener, 1948 (2 species)\u25aa Icteranthidium grohmanni Spinola, 1838 in Kuhlmann et al. (2020). [LC]Icteranthidium laterale Latreille, 1809 in Stanisavljevi\u0107 (2000); as Anthidium laterale Latreille, 1809 in Petrik (1958); Rafajlovi\u0107 and Sele\u0161i (1958); Mocs\u00e1ry (1897). [LC]Lithurgus Latreille, 1825 (2 species)Lithurgus chrysurus Fonscolombe, 1834 in Kuhlmann et al. (2020); Stanisavljevi\u0107 (2000); Kruni\u0107 et al. (1988); Rafajlovi\u0107 and Sele\u0161i (1958); \u017divojinovi\u0107 (1950); Lebedev (1931); Mocs\u00e1ry (1897); Korlevi\u0107 (1890). [LC]\u2e17 Lithurgus cornutus Fabricius, 1787 in Kuhlmann et al. (2020); Mudri-Stojni\u0107 (2018); Mudri-Stojni\u0107 et al. (2012); ZM coll.; also as Lithurgus cornutus fuscipennis Lepeletier, 1841 in Stanisavljevi\u0107 (2000); as Lithurgus cornuta ssp. fuscipennis Lep. in Kruni\u0107 et al. (1988); as Lithurgus fuscipennis Lepeletier, 1841 Rafajlovi\u0107 and Sele\u0161i (1958); \u017divojinovi\u0107 (1950); Mocs\u00e1ry (1897). [LC]Megachile Latreille, 1802 (34 species)\u2e17 Megachile albisecta Klug, 1817 in Kuhlmann et al. (2020); Mudri-Stojni\u0107 (2018); Markov (2017); Mudri-Stojni\u0107 et al. (2012); as Megachile sericans Fonscolombe, 1832 in Grozdani\u0107 (1971b); Vasi\u0107 (1968); Mocs\u00e1ry (1897); as Creightonella albisecta in Stanisavljevi\u0107 (2000); SG coll. [LC]\u25aa Megachile albocristata Smith, 1853 in Kuhlmann et al. (2020). [LC]\u25aa Megachile alpicola Alfken, 1924 in Kuhlmann et al. (2020). [DD]\u2e17 Megachile apicalis Spinola, 1808 in Kuhlmann et al. (2020); Mudri-Stojni\u0107 (2018); Markov (2017); Markov et al. (2016); Mudri-Stojni\u0107 et al. (2012); Stanisavljevi\u0107 (2000); Rafajlovi\u0107 and Sele\u0161i (1958); Lebedev (1931); Vorgin (1918); Mocs\u00e1ry (1897). [LC]Megachile bombycina Radoszkowski, 1874 in Stanisavljevi\u0107 (2000); Rafajlovi\u0107 and Sele\u0161i (1958); Vorgin (1955); \u017divojinovi\u0107 (1950); Mocs\u00e1ry (1897). [DD]\u25aa Megachile burdigalensis Benoist, 1940 in Kuhlmann et al. (2020). [DD]\u2e17 Megachile centuncularis Linnaeus, 1758 in Kuhlmann et al. (2020); Markov (2017); Markov et al. (2016); Stanisavljevi\u0107 (2000); Kruni\u0107 et al. (1988); Grozdani\u0107 and Vasi\u0107 (1966a); Rafajlovi\u0107 and Sele\u0161i (1958); \u017divojinovi\u0107 (1950); Lebedev (1931); Mocs\u00e1ry (1897); A\u0110 coll.; ZM coll. [LC]Megachile circumcincta Kirby, 1802 in Kuhlmann et al. (2020); Stanisavljevi\u0107 (2000); Rafajlovi\u0107 and Sele\u0161i (1958). [LC]\u2e17 Megachile concinna Smith, 1879 in Kuhlmann et al. (2020); as Megachile argentata in Stanisavljevi\u0107 (2000); Petrik (1958); Rafajlovi\u0107 and Sele\u0161i (1958); \u017divojinovi\u0107 (1950); Lebedev (1931); Mocs\u00e1ry (1897); ZM Coll. [DD]\u2e17 Megachile deceptoria P\u00e9rez 1890 in Kuhlmann et al. (2020); FSUNS. [DD]\u2e17 Megachile ericetorum Lepeletier, 1841 in Kuhlmann et al. (2020); Mudri-Stojni\u0107 (2018); Markov (2017); Markov et al. (2016); Grozdani\u0107 (1971b); Grozdani\u0107 and Mu\u010dalica (1968a); Grozdani\u0107 and Vasi\u0107 (1966a); Rafajlovi\u0107 and Sele\u0161i (1958); Vorgin (1918); as Chalicodoma ericetorum in Stanisavljevi\u0107 (2000); Kruni\u0107 et al. (1988); ZM coll. [LC]Megachile flabellipes P\u00e9rez, 1895 in Kuhlmann et al. (2020); Stanisavljevi\u0107 (2000). [DD]Megachile fulvimana Eversman, 1852 in Stanisavljevi\u0107 (2000). [DD]\u2e17 Megachile genalis Morawitz, 1880 in Kuhlmann et al. (2020); Stanisavljevi\u0107 (2000); ZM coll. [DD]\u25aa Megachile giraudi Gerst\u00e4cker, 1869 in Kuhlmann et al. (2020). [DD]Megachile hungarica Mocs\u00e1ry, 1877 as Chalicodoma hungarica Mocs\u00e1ry, 1877 in Stanisavljevi\u0107 (2000). [DD]Megachile lagopoda Linnaeus, 1761 in Kuhlmann et al. (2020); Stanisavljevi\u0107 (2000); Rafajlovi\u0107 and Sele\u0161i (1958); \u017divojinovi\u0107 (1950); Lebedev (1931); Mocs\u00e1ry (1897). [LC]\u2e17 Megachile leachella Curtis, 1828 in Kuhlmann et al. (2020); Markov (2017); Markov et al. (2016); ZM coll. [LC]Megachile leucomalla Gerst\u00e4cker, 1869 in Stanisavljevi\u0107 (2000); Petrik (1958); Mocs\u00e1ry (1897). [DD]Megachile ligniseca Kirby, 1802 in Kuhlmann et al. (2020); Stanisavljevi\u0107 (2000); Kruni\u0107 et al. (1988); Rafajlovi\u0107 and Sele\u0161i (1958); \u017divojinovi\u0107 (1950); Lebedev (1931); Vorgin (1918). [DD]\u25aa Megachile manicata Giraud, 1861 in Kuhlmann et al. (2020). [DD]\u2e17 Megachile maritima Kirby, 1802 in Kuhlmann et al. (2020); Markov (2017); Markov et al. (2016); Stanisavljevi\u0107 (2000); Kruni\u0107 et al. (1988); Petrik (1958); Rafajlovi\u0107 and Sele\u0161i (1958); Lebedev (1931); Mocs\u00e1ry (1897). [DD]\u2e17 Megachile melanopyga Costa, 1863 in Kuhlmann et al. (2020); Mudri-Stojni\u0107 (2018); Stanisavljevi\u0107 (2000); Rafajlovi\u0107 and Sele\u0161i (1958). [LC]\u25aa Megachile nigriventris Schenck, 1870 in Kuhlmann et al. (2020). [DD]Megachile octosignata Nylander, 1852 in Kuhlmann et al. (2020); Lebedev (1931). [DD]Megachile parietina Geoffroy, 1785 in Kuhlmann et al. (2020); also as Chalicodoma muraria auct. in Apfelbeck (1896); as Chalicodoma parietina in Stanisavljevi\u0107 (2000); Kruni\u0107 et al. (1988). [LC]\u2e17 Megachile pilicrus Morawitz, 1877 in Kuhlmann et al. (2020); Markov (2017); Markov et al. (2016); Stanisavljevi\u0107 (2000); Rafajlovi\u0107 and Sele\u0161i (1958); \u017divojinovi\u0107 (1950); AZ coll. [DD]\u2e17 Megachile pilidens Alfken, 1924 in Kuhlmann et al. (2020); Mudri-Stojni\u0107 (2018); Markov (2017); Markov et al. (2016); Stanisavljevi\u0107 (2000); Grozdani\u0107 (1971b); Lebedev (1931); ZM coll. [LC]\u25aa Megachile pyrenaea P\u00e9rez, 1890 in Kuhlmann et al. (2020). [DD]\u2e17 Megachile pyrenaica Lepeletier, 1841 in Kuhlmann et al. (2020); as Chalicodoma pyrenaica in Stanisavljevi\u0107 (2000); ZM coll. [DD]\u2e17 Megachile rotundata Fabricius, 1793 in Kuhlmann et al. (2020); Stanisavljevi\u0107 and Tomanovi\u0107 (2006); Stanisavljevi\u0107 (2000); Kruni\u0107 et al. ; Mihajlovi\u0107 et al. (1989); Rafajlovi\u0107 and Sele\u0161i (1958); ZM coll.; as Megachile pacifica in Vorgin (1918); Mocs\u00e1ry (1897). [DD]\u2e17 Megachile sculpturalis Smith, 1853 in \u0106etkovi\u0107 and Ple\u0107a\u0161 (2017). New material examined: 1 \u2642, 1 \u2640; Ba\u010dki Magli\u0107; 45.3686\u00b0N, 19.5381\u00b0E; 20 Jul. 2019; B. \u0160ikoparija leg.; Sonja Mudri-Stojni\u0107 det.; FSUNS.\u2e17 Megachile versicolor Smith, 1844 in Kuhlmann et al. (2020); Stanisavljevi\u0107 (2000); Rafajlovi\u0107 and Sele\u0161i (1958); A\u0110 coll. [DD]\u2e17 Megachile willughbiella Kirby, 1802 in Kuhlmann et al. (2020); Markov (2017); Markov et al. (2016); Mu\u010dalica and Stanisavljevi\u0107 (2005); Stanisavljevi\u0107 (2000); Petrik (1958); Rafajlovi\u0107 and Sele\u0161i (1958); \u017divojinovi\u0107 (1950); Lebedev (1931); Mocs\u00e1ry (1897); A\u0110 coll.; ZM coll. [LC]Osmia Panzer, 1806 (26 species)\u2e17 Osmia andrenoides Spinola, 1808 in Kuhlmann et al. (2020); Rafajlovi\u0107 and Sele\u0161i (1958); Mocs\u00e1ry (1897); Apfelbeck (1896); as Anthocopa andrenoides Spinola, 1808 in Stanisavljevi\u0107 (2000); Kruni\u0107 et al. (1988); SG coll. [LC]\u25aa Osmia apicata Smith, 1853 in Kuhlmann et al. (2020). [LC]\u2e17 Osmia aurulenta Panzer, 1799 in Kuhlmann et al. (2020); Mudri-Stojni\u0107 (2018); Markov (2017); Markov et al. (2016); Mudri-Stojni\u0107 et al. (2012); Stanisavljevi\u0107 (2000); Kruni\u0107 et al. (1988); Grozdani\u0107 (1971b); Grozdani\u0107 and Vasi\u0107 (1965c); Rafajlovi\u0107 and Sele\u0161i (1958); Vorgin (1955); Lebedev (1931); SG coll. [LC]\u2e17 Osmia bicolor Schrank, 1781 in Kuhlmann et al. (2020); Markov (2017); Markov et al. (2016); Stanisavljevi\u0107 (2000); Grozdani\u0107 ; Grozdani\u0107 and Vasi\u0107 ; Rafajlovi\u0107 and Sele\u0161i (1958); Lebedev (1931); SG coll. [LC]\u2e17 Osmia bicornis Linnaeus, 1758 in Markov (2017); Markov et al. (2016); Grozdani\u0107 and Vasi\u0107 (1966a); Vorgin (1955); Grozdani\u0107 (1928); A\u0110 coll.; as Osmia rufa in Kruni\u0107 and Stanisavljevi\u0107 ; Kruni\u0107 et al. ; Stanisavljevi\u0107 et al. ; Kulin\u010devi\u0107 et al. (1997); Grozdani\u0107 ; Rafajlovi\u0107 and Sele\u0161i (1958); \u017divojinovi\u0107 (1950); Lebedev (1931); ZM coll.; SG coll. [LC]\u2e17 Osmia bidentata Morawitz, 1876 in Kuhlmann et al. (2020); Mudri-Stojni\u0107 (2018); M\u00fcller (2018); Markov (2017); Markov et al. (2016); Grozdani\u0107 and Radivojevi\u0107 (1972); Grozdani\u0107 (1971b); Lebedev (1931); Mocs\u00e1ry (1897); as Anthocopa bidentata in Stanisavljevi\u0107 (2000); Kruni\u0107 et al. (1988); as Osmia affinis Frivaldszky, 1877 in Petrik (1958); as Hoplosmia bidentata in SG coll. [LC]\u2e17 Osmia brevicornis Fabricius, 1798 in Kuhlmann et al. (2020); Markov (2017); Markov et al. (2016); Stanisavljevi\u0107 (2000); as Osmia atrocaerulea Schilling, 1849 in Rafajlovi\u0107 and Sele\u0161i (1958); as Osmia panzeri Morawitz, 1869 in Mocs\u00e1ry (1897). [LC]\u2e17 Osmia caerulescens Linnaeus, 1758 in Kuhlmann et al. (2020); Markov (2017); Markov et al. (2016); Stanisavljevi\u0107 (2000); Kruni\u0107 et al. (1988); Grozdani\u0107 and Vasi\u0107 (1966a); Rafajlovi\u0107 and Sele\u0161i (1958); A\u0110 coll.; SG coll.; as Osmia aenea Linnaeus, 1761 in \u017divojinovi\u0107 (1950); Lebedev (1931). [LC]Osmia cephalotes Morawitz, 1870 as Osmia cephalotes longiceps Morawitz, 1876 in Stanisavljevi\u0107 (2000). [LC]\u2e17 Osmia cornuta Latreille, 1805 in Markov (2017); Markov et al. (2016); Stanisavljevi\u0107 et al. ; Stanisavljevi\u0107 ; Kruni\u0107 and Stanisavljevi\u0107 ; Maccagnani et al. (2007); Kruni\u0107 et al. ; Kulin\u010devi\u0107 et al. (1997); Rafajlovi\u0107 and Sele\u0161i (1958); Lebedev (1931); A\u0110 coll.; AZ coll.; ZM coll. [LC]\u25aa Osmia croatica Friese, 1893 in Kuhlmann et al. (2020). [LC]\u2e17 Osmia emarginata Lepeletier, 1841 in Stanisavljevi\u0107 (2000); ZM coll. [LC]\u25aa Osmia erythrogastra Ferton, 1905 in Kuhlmann et al. (2020). [LC]Osmia gallarum Spinola, 1808 in Stanisavljevi\u0107 (2000); Lebedev (1931). [LC]\u25aa Osmia jason Benoist, 1929 in Kuhlmann et al. (2020). [LC]\u2e17 Osmia leaiana Kirby, 1802 in Stanisavljevi\u0107 (2000); Rafajlovi\u0107 and Sele\u0161i (1958); \u017divojinovi\u0107 (1950); Lebedev (1931); A\u0110 coll.; as Osmia solskyi Morawitz, 1870 in Mocs\u00e1ry (1897). [LC]\u2e17 Osmia melanogaster Spinola, 1808 in Kuhlmann et al. (2020); Markov (2017); Markov et al. (2016); Stanisavljevi\u0107 (2000); as Osmia melanogastra in Rafajlovi\u0107 and Sele\u0161i (1958); Mocs\u00e1ry (1897); as Osmia aterrima Morawitz, 1872 in Lebedev (1931). [LC]\u2e17 Osmia niveata Fabricius, 1804 in Kuhlmann et al. (2020); Markov (2017); Markov et al. (2016); as Osmia fulviventris in Stanisavljevi\u0107 (2000); Kruni\u0107 et al. (1988); Rafajlovi\u0107 and Sele\u0161i (1958); Vorgin (1955); \u017divojinovi\u0107 (1950); Lebedev (1931); Apfelbeck (1896). [LC]\u25aa Osmia padri Tkalcu, 1974 in Kuhlmann et al. (2020). [DD]\u25aa Osmia pilicornis Smith, 1846 in Kuhlmann et al. (2020). [LC]\u2e17 Osmia rufohirta Latreille, 1811 in Kuhlmann et al. (2020); Markov (2017); Markov et al. (2016); Grozdani\u0107 ; Grozdani\u0107 and Vasi\u0107 (1965c); Rafajlovi\u0107 and Sele\u0161i (1958); \u017divojinovi\u0107 (1950); Mocs\u00e1ry (1897); SG coll; as Hoplitis rufohirta in Stanisavljevi\u0107 (2000); as Hoplites rufohirta (Latr.) in Kruni\u0107 et al. (1988). [LC]\u25aa Osmia saxicola Ducke, 1899 in Kuhlmann et al. (2020). [LC]\u25aa Osmia signata Erichson, 1835 in Kuhlmann et al. (2020). [LC]\u2e17 Osmia spinulosa Kirby, 1802 in Mudri-Stojni\u0107 (2018); Mudri-Stojni\u0107 et al. (2012); Rafajlovi\u0107 and Sele\u0161i (1958); Vorgin (1955); as Anhocopa spinulosa in Stanisavljevi\u0107 (2000). [LC]Osmia submicans Morawitz, 1870 in Stanisavljevi\u0107 (2000); Rafajlovi\u0107 and Sele\u0161i (1958). [LC]Osmia versicolor Latreille, 1811 in Stanisavljevi\u0107 (2000); Apfelbeck (1896). [LC]Protosmia Ducke, 1900 (1 species)Protosmia longiceps Friese, 1899 as Eriades longiceps Friese, 1899 in Vorgin (1918). [DD]Pseudoanthidium Friese, 1898 (3 species)Pseudoanthidium scapulare as Paranthidiellum lituratum in Stanisavljevi\u0107 (2000); Kruni\u0107 et al. (1988); as Anthidium lituratum in Rafajlovi\u0107 and Sele\u0161i (1958); Vorgin (1918). [DD]* Pseudoanthidium reticulatum Mocs\u00e1ry, 1884 as Anthidium mocsaryi Friese, 1897 in Mocs\u00e1ry (1897). [DD]* Pseudoanthidium tenellum Mocs\u00e1ry, 1881 as Anthidium tenellum Mocs\u00e1ry, 1881 in Mocs\u00e1ry (1897). [DD]Rhodanthidium Isensee, 1927 (2 species)Rhodanthidium septemdentatum Latreile, 1809 in Kuhlmann et al. (2020); Stanisavljevi\u0107 (2000); as Anthidium septemdentatum Latreille, 1809 in Grozdani\u0107 and Vasi\u0107 (1965c); Rafajlovi\u0107 and Sele\u0161i (1958); \u017divojinovi\u0107 (1950); Lebedev (1931). [DD]\u25aa Rhodanthidium sticticum Fabricius, 1787 in Kuhlmann et al. (2020). [DD]Stelis Panzer, 1806 (10 species)Stelis annulata Lepeletier, 1841 in Stanisavljevi\u0107 (2000); as Stelis frey-gessneri Friese, 1885 in Rafajlovi\u0107 and Sele\u0161i (1958). [DD]Stelis breviuscula Nylander, 1848 in Kuhlmann et al. (2020); Stanisavljevi\u0107 (2000); Rafajlovi\u0107 and Sele\u0161i (1958); Lebedev (1931); Vorgin (1918). [LC]Stelis minuta Lepeletier and Audinet-Serville, 1825 in Kuhlmann et al. (2020); Stanisavljevi\u0107 (2000); Rafajlovi\u0107 and Sele\u0161i (1958). [LC]\u25aa Stelis nasuta Latreille, 1809 in Kuhlmann et al. (2020). [LC]\u25aa Stelis odontopyga Noskiewicz, 1926 in Kuhlmann et al. (2020). [LC]Stelis ornatula Klug, 1807 in Kuhlmann et al. (2020); Apfelbeck (1896). [LC]Stelis phaeoptera Kirby, 1802 in Kuhlmann et al. (2020); Stanisavljevi\u0107 (2000); Rafajlovi\u0107 and Sele\u0161i (1958); \u017divojinovi\u0107 (1950); Lebedev (1931). [DD]Stelis punctulatissima Kirby, 1802 in Kuhlmann et al. (2020); Stanisavljevi\u0107 (2000); as Stelis aterrima in Rafajlovi\u0107 and Sele\u0161i (1958); Lebedev (1931); Mocs\u00e1ry (1897). [LC]\u2e17 Stelis signata Latreille, 1809 in Kuhlmann et al. (2020); Markov (2017); Markov et al. (2016); Stanisavljevi\u0107 (2000); Rafajlovi\u0107 and Sele\u0161i (1958). [LC]Stelis simillima Morawitz, 1876 in Kuhlmann et al. (2020); Kasparek (2015). [LC]Trachusa Panzer, 1804 (5 species)\u2e17 Trachusa byssina Panzer, 1798 in Kuhlmann et al. (2020); Stanisavljevi\u0107 (2000); Lebedev (1931); ZM coll. [LC]\u25aa Trachusa dumerlei Warncke, 1980 in Kuhlmann et al. (2020). [LC]Trachusa interrupta Fabricius, 1781 in Kuhlmann et al. (2020); Kasparek (2017); as Paraanthidium interruptum in Stanisavljevi\u0107 (2000); as Anthidium interruptum in Rafajlovi\u0107 and Sele\u0161i (1958); Mocs\u00e1ry (1897). [EN]\u25aa Trachusa laticeps Morawitz, 1873 in Kuhlmann et al. (2020). [NT]Trachusa pubescens Morawitz, 1872 in Kasparek (2017); as Archianthidium pubescens Morawitz, 1872 in Stanisavljevi\u0107 (2000); as Anthidium pubescens Morawitz, 1872 in Petrik (1958); Rafajlovi\u0107 and Sele\u0161i (1958); \u017divojinovi\u0107 (1950); Mocs\u00e1ry (1897). [DD] Note: According to Kasparek (2018), Trachusa pubescens sensu lato is a complex of five species, and specimens from Serbia belong to the newly described Trachusa balcanica Kasparek, 2018.Dasypoda Latreille, 1802 (4 species)Dasypoda argentata Panzer, 1809 in Rafajlovi\u0107 and Sele\u0161i (1958); Mocs\u00e1ry (1897). [NT]\u25aa Dasypoda braccata Eversmann, 1852 in Kuhlmann et al. (2020). [EN]\u2e17 Dasypoda hirtipes in Kuhlmann et al. (2020); Mudri-Stojni\u0107 (2018); Markov (2017); Markov et al. (2016); A\u0110 coll.; also as Dasypoda plumipes Panzer, 1797 in Petrik (1958); as Dasypoda plumipes in Grozdani\u0107 (1971b); Rafajlovi\u0107 and Sele\u0161i (1958); Vorgin ; \u017divojinovi\u0107 (1950); Lebedev (1931); Mocs\u00e1ry (1897); ZM coll. [LC]\u2e17 Dasypoda pyrotrichia F\u00f6rster, 1855 New material examined: 2 \u2640\u2640; Vlasina, Dejanova reka; 42.6888\u00b0N, 22.3954\u00b0E; 24 Jul. 2019; A. \u0110uki\u0107 leg.; Denis Michez det.; A\u0110 coll. [LC]Macropis Panzer, 1809 (3 species)\u2e17 Macropis europaea Warncke, 1973 in Kuhlmann et al. (2020); A\u0110 coll.; as Macropis labiata in Apfelbeck (1896). [LC]Macropis frivaldszkyi Mocs\u00e1ry, 1878 in Kuhlmann et al. (2020); Vorgin (1918); Mocs\u00e1ry (1897). [NT]Macropis fulvipes in Kuhlmann et al. (2020); Lebedev (1931). [LC]Melitta Kirby, 1802 (6 species)Melitta budensis in Grozdani\u0107 (1971b); Rafajlovi\u0107 and Sele\u0161i (1958). [LC]* Melitta dimidiata Morawitz, 1876 in Apfelbeck (1896). [NT]\u2e17 Melitta haemorrhoidalis in Kuhlmann et al. (2020); Mudri-Stojni\u0107 (2018); Rafajlovi\u0107 and Sele\u0161i (1958); \u017divojinovi\u0107 (1950). [LC]\u2e17 Melitta leporina in Kuhlmann et al. (2020); Mudri-Stojni\u0107 (2018); Rafajlovi\u0107 and Sele\u0161i (1958); \u017divojinovi\u0107 (1950); Morawitz (1876); Apfelbeck (1896). [LC]\u2e17 Melitta nigricans Alfken, 1905 in Kuhlmann et al. (2020); Rafajlovi\u0107 and Sele\u0161i (1958); \u017divojinovi\u0107 (1950); A\u0110 coll.; AZ coll. [LC]Melitta tricincta Kirby, 1802 in Kuhlmann et al. (2020); Rafajlovi\u0107 and Sele\u0161i (1958). [NT]Apidae (32%) and Megachilidae (21%). Apidae is also the family represented with most genera, 31% of the total number of 58. The genus most rich in species is Andrena (fam. Andrenidae) with 104 reported species, followed by Nomada (fam. Apidae) \u2013 77 and Lasioglossum \u2013 72 species. Among all genera, 26 (44.8%) are represented with only one or two species. Regarding families, the lowest number of species is recorded within Mellitidae, only 13 (1.8%).Of the 706 species from six families of bees presented here for Serbia, more than half (53%) belong to only two families of the group of long-tongued bees, i.e. Apidae (28.1% / 27.2% of species), while the least diverse is Mellitidae (with only 1.9% / 1.7%). Considering there are approximately 20,000 bee species worldwide, Serbia hosts 3.5% of the total, 20.7% of Western-Palaearctic, and 34.4% of the European bee diversity, according to the list we present in this study. Regarding bee genera, more than half of Western-Palaearctic, and the majority of the European ones are represented in our list, 58 out of 105 and 77, respectively, the latter number updated form 75 are included in our list according to only one literature source each, and for almost a quarter (153) of all the species, the only source for their occurrence in Serbia is the \u201cChecklist of the Western Palaearctic Bees\u201d have been found in various bibliographic sources and collections. However, for 97 species there are no publicly available records from the 21ic Bees\u201d . Of the Bombuscullumanus (fam. Apidae), is listed as Critically endangered at the European level. Three of the species categorised as Endangered according to the European Red List have not been recorded in Serbia in the 21st century. Therefore, Serbia hosts species of conservation concern in Europe; however, the current presence of some species requires re-confirmation and possible re-evaluation of their conservation status. Threatened species mostly belong to families Apidae , Colletidae and Halictidae ; there is one EN species in each of the remaining three families. The pattern is similar to that at the European level, with most threatened species in Apidae, followed by Colletidae and Halictidae. The overall proportion of threatened bee species is the same (4%), but the proportional representation of Data Deficient species is higher at 56.7% ; species assessed as Vulnerable in Europe. Comparing global and regional Red Lists has shown that species common within their overall geographical range can be threatened on a local scale, which also highlights the importance to implement conservation measures at various geographical scales (According to the European Red List , most spat 56.7% . Among sat 56.7% . Therefol scales .Andrenaconfinis, previously considered a synonym of Andrenacongruens but now regarded as a distinct species (Megachilesculpturalis, native to Eastern Asia. Until recently, European bee fauna has been without allochthonous species; however, this solitary bee has been imported, established, and is expanding rapidly, and the first record for south-east Europe was reported in Serbia in 2017 (Two of the species presented in our list are without the category of threat, since they are not in the European Red List but they species . The sec in 2017 .An up-to-date species list is the foundation of biodiversity and conservation work, and knowing which species make up the diverse ecosystems will be critically important in order to protect and restore them. Bees represent one of the key components of global biodiversity, providing vital ecosystem services, being the primary pollinators of most agricultural crops and wild plants. Climate change, land-use change and other anthropogenic pressures have been affecting the diversity of bees throughout the world . During"}
+{"text": "In the article titled \u201cThree-Dimensional Cobalt Hydroxide Hollow Cube/Vertical Nanosheets with High Desalination Capacity and Long-Term Performance Stability in Capacitive Deionization\u201d , there w"}
+{"text": "Scientific Reportshttps://doi.org/10.1038/s41598-021-88390-6, published online 26 April 2021Correction to: The original version of this Article contained an error in the legend of Figure\u00a01.3, SD 223) than those with retained expression .\u201d\u201cF) Tumor cells with loss of BAP1 expression had significantly larger mean volume (801 \u03bcmnow reads:(F) tumor cells with loss of BAP1 expression had significantly larger mean volume than those with retained expression .\u201d\u201cThe original Article has been corrected."}
+{"text": "Scientific Reportshttps://doi.org/10.1038/s41598-021-00041-y, published online 14 October 2021Correction to: The original version of this Article contained errors in Table 3b, where the heading showing data for \u201cRdRp\u201d and \u201cN gene\u201d was incorrectly given as \u201cMean Ct \u201d. The correct heading is \u201cMean Tt (RT LAMP)\u201d.The incorrect and correct values are given below.Incorrect:Correct:The original Article has been corrected."}
+{"text": "Scientific Reports 10.1038/s41598-021-81710-w, published online 26 January 2021Correction to: This Article contains an error in Figure\u00a03, where the color labels are reversed. The correct Figure\u00a03 appears below as Figure"}
+{"text": "Scientific Reports 10.1038/s41598-021-98183-6, published online 21 September 2021Correction to: The original version of this Article contained errors in the spelling of the authors Anna Le\u015bk\u00f3w, Ma\u0142gorzata Tarnowska, Izabela Szczuka & Dorota Diakowska which were incorrectly given as Le\u015bk\u00f3w Anna, Tarnowska Ma\u0142gorzata, Szczuka Izabela & Diakowska Dorota respectively.The original Article has been corrected."}
+{"text": "Scientific Reports 10.1038/s41598-020-78585-8, published online 10 December 2020Correction to: This Article contains errors in the Materials and methods section under subheading \u2018Statistical analyses\u2019.\u201cPrior plotting showed that the response variables changed non-linearly over time, and w in R-package itsadug54 version 2.4e therefore entered year as smooth function.\u201dshould read:\u201cPrior plotting showed that the response variables changed non-linearly over time, and we therefore entered year as smooth function.\u201d"}
+{"text": "Scientific Reports 10.1038/s41598-020-77775-8, published online 25 January 2021Correction to: The original version of this Article contained errors in Figure 3E, where the image used for \u201c3 mM Neomycin\u201d was inadvertently swapped with the image used for the \u201cControl.\u201dThe original Figure The original Article has been corrected."}
+{"text": "The authors regret that Fig.2F has been incorrectly titled. The correct title is \u201cFailure-free survival high burden M1\u201d."}
+{"text": "Correction to: Genome Biol 21, 215 (2020)https://doi.org/10.1186/s13059-020-02141-wFollowing publication of the original article , the autThe correct statement should read: \u201cWe used small RNA libraries generated from somatic tissues as well as germline tissues (ovaries) to annotate 1441 piRNA clusters with an average size of 10.911\u2009kb \u2026 \u201d"}
+{"text": "Case Rep. 11, 2021, was published with an error.Due to a desktop publishing error, the partial retraction notice \u201cPartial retraction of \u201cDyskeratosis congenita\u201d [Autops Case Rep 10(3) (2020) e2020203]\u201d :e2020203. The publisher apologizes for the errors."}
+{"text": "Scientific Reports 10.1038/s41598-018-38430-5, published online 14 February 2019Correction to: The Acknowledgements section in the original version of this Article was incomplete.\u201cThis work was supported by the French State programme \u201cInvestissements d\u2019Avenir\u201d managed by the Agence Nationale de la Recherche [LaBex LIFESENSES: ANR-10-LABX-65] and Groupe Optic 2000.\u201dnow reads:\u201cThis work was supported by the French State programme \u201cInvestissements d\u2019Avenir\u201d managed by the Agence Nationale de la Recherche [LaBex LIFESENSES: ANR-10-LABX-65] and Groupe Optic 2000, the ERC Consolidator Grant (773121), a James S. McDonnell Foundation, United States, scholar award (no. 652 220020284), and a Joy ventures grant to A.A.\u201dThe original Article has been corrected."}
+{"text": "Due to production errors, several corrections were omitted.In \u201cKey Components of The Polysomnographic,\u201d \u201cK-Complexes,\u201d the sub-title should be \u201cK-complexes.\u201dIn \u201cKey Components of The Polysomnographic,\u201d \u201cSleep Spindles,\u201d a sentence appears as follows: \u201cIn a clinical population of 47 patients with Obstructive sleep apnea (OSA) Headers are correct Confirmed, greater sleep spindle activity was associated with better implicit learning (Stevens et al., In \u201cCircadian Rhythms,\u201d \u201cThe Need to Assess Circadian Rhythms' to Define Sleep Disruption,\u201d a sentence appears as follows: \u201cChronobiological interventions, such as bright light therapy, have been administered as a stand-alone treatment and combined with CBT-I combined with CBT-I to moderate effect (Jank\u00f9 et al., The publisher apologizes for this mistake. The original version of this article has been updated."}
+{"text": "Nature Biomedical Engineering 10.1038/s41551-020-00675-9, published online 8 February 2021.Correction to: This Article was originally published online incorrectly without open access, whereas it is actually covered by an Open Access licence (CC BY 4.0). The copyright line in the PDF mistakenly read \u201c\u00a9 The Author(s), under an exclusive licence to Springer Nature Limited 2021\u201d but should have been \u2018\u00a9 The Author(s) 2021\u2019."}
+{"text": "Scientific Reports 10.1038/s41598-021-85394-0, published online 12 March 2021Correction to: The original version of this Article contained a repeated error, where the unit of measurement \u201cMeV\u201d was incorrectly given as \u201cmeV.\u201dThe original Article has been corrected."}
+{"text": "Scientific Reports 10.1038/srep41747, published online 02 February 2017Correction to: In this Article, the legend of Figure\u00a02 is incorrect:\u201cMEG power data for dominant (blue-patched eye) and non-dominant (red- unpatched eye) eyes before and after 150\u00a0min of monocular occlusion with either a black patch (top row) or a translucent patch (bottom row).\u201dshould read:\u201cMEG power data for non-dominant\u00a0(blue- unpatched eye) and dominant (red- patched eye) eyes before and after 150\u00a0min of monocular occlusion with either a black patch (top row) or a translucent patch (bottom row).\u201dIn the Results section,\u201cFigure\u00a02\u00a0displays the power data obtained for left (blue- patched eye) and right (red- unpatched eye) eyes using the frequency-tagging method normalized to the baseline power before monocular deprivation.\u201dshould read:\u201cFigure\u00a02\u00a0displays the power data obtained for non-dominant (blue- unpatched eye) and dominant (red- patched eye) eyes using the frequency-tagging method normalized to the baseline power before monocular deprivation.\u201d"}
+{"text": "Scientific Reportshttps://doi.org/10.1038/s41598-021-94121-8, published online 27 July 2021Correction to: The original version of this Article omitted the Funding section. The Funding section now reads:\u201cThis study has been funded by Instituto de Salud Carlos III through the projects \u201cPI15/00259\u201d and \"PI18/01025\", and co-funded by a European Regional Development Fund, \u201cA way of shaping Europe\u201dThe original Article has been corrected."}
+{"text": "Horticulture Researchhttps://doi.org/10.1038/s41438-021-00658-0 published online 01 November 2021Correction to: In the originally published version of this manuscript, there was an error in the CACMSInnovation Fund grant number. The grant number should read \u201cCI2021A04117\u201d instead of\u201cC12021A04117\u201d. This error has been corrected."}
+{"text": "Scientific Reports 10.1038/s41598-021-91011-x, published online 31 May 2021.Correction to: The original version of this Article contained an error in the Acknowledgments section.\u201cAB is supported by a Medical Research Council doctoral studentship [D79/543369/D-OTH/170890].\u201dnow reads:\u201cAB is supported by a Medical Research Council doctoral studentship [MR/N013867/1].\u201dThe original Article has been corrected."}
+{"text": "In the article titled \u201cUmbilical Cord Tissue-Derived Mesenchymal Stem Cells Induce T Lymphocyte Apoptosis and Cell Cycle Arrest by Expression of Indoleamine 2, 3-Dioxygenase\u201d , the aut"}
+{"text": "Communications Biology 10.1038/s42003-018-0227-z, published online 6 December 2018.Correction to: In the original version of the Article, errors were introduced in the labels in Fig.\u00a0Panels a\u2013c were incorrectly labelled \u201cLaser-Sham-2wk\u201d. The correct label for panels a and b is \u201cNormal CTRL-2wk\u201d. The correct label for panel c is \u201cNormal CTRL-4wk\u201d.Panels d\u2013f were incorrectly labelled \u201cLaser-TMSC-2wk\u201d. The correct label for panels d and e is \u201cLaser-Sham-2wk\u201d. The correct label for panel f is \u201cLaser-Sham-4wk\u201d.Panels g\u2013 i were incorrectly labelled \u201cLaser-Fibro-2wk\u201d. The correct label for panels g and h is \u201cLaser-TMSC-2wk\u201d. The correct label for panel i is \u201cLaser-TMSC-4wk\u201d.Panels j\u2013l were incorrectly labelled \u201cNormal CTRL-2wk\u201d. The correct label for panels j and k is \u201cLaser-Fibro-2wk\u201d. The correct label for panel l is \u201cLaser-Fibro-4wk\u201d.The originally published (incorrect) Fig.\u00a0The errors have been corrected in the HTML and PDF versions of the Article."}
+{"text": "Scientific Reports 10.1038/s41598-020-77818-0, published online 03 December 2020Correction to: This Article contains errors in Table 5, where the entries in the rows \u201cMinimum value\u201d and \u201cMaximum value\u201d are not aligned correctly with their corresponding columns. The correct Table 5 appears below as Table"}
+{"text": "Scientific Reports 10.1038/s41598-021-97977-y, published online 23 September 2021Correction to: The original version of this Article contained errors in Table 1, where the measurement precision values for \u201cThe common method\u201d and \u201cThe current method\u201d were inadvertently switched. The incorrect and correct values appear below.Incorrect:Correct:The original Article has been corrected."}
+{"text": "Scientific Reports 10.1038/s41598-021-99867-9, published online 14 October 2021Correction to: The original version of this Article contained an error.In the Materials and methods section, under subheading \u201cParticipants and samples\u201d,\u201cPatient demographics are provided in Table\u00a04.\u201dnow reads:\u201cPatient demographics are provided in Table\u00a01.\u201dThe original Article has been corrected."}
+{"text": "Scientific Reportshttps://doi.org/10.1038/s41598-020-76318-5, published online 11 November 2020Correction to: \u201cCraspedostauros sp.\u201d was incorrectly referred to as \u201cPinnularia sp.\u201d Furthermore, all references to \u201cC.sp.\u201d were incorrectly given as \u201cP.sp.\u201dThe original version of this Article contained a repeated error, where the algae species These errors have now been corrected in the original version of the Article and ts accompanying Supplementary Information file.\u00a0The original Supplementary Information 1 file is provided below.Supplementary Information."}
+{"text": "In the article titled \u201cHydroxychloroquine Effects on TLR Signalling: Underexposed but Unneglectable in COVID-19\u201d ["}
+{"text": "Scientific Reports 10.1038/s41598-021-95176-3, published online 13 August 2021Correction to: The original version of this Article contained errors in Figure\u00a05, where the x-axis label \u201cSoft drink\u201d was incorrectly given as \u201cCoca cola\u201d.The original Figure\u00a0The original Article has been corrected."}
+{"text": "Scientific Reports 10.1038/s41598-020-69271-w, published online 23 July 2020Correction to: This Article contains errors in the Methods section under subheading \u2018Patient recruitment\u2019.\u201cThe study was approved by the Joint Institutional Review Board of Taipei Medical University (TMU-JIRB No.: N201702062).\u201dshould read:\u201cThe study was approved by the Joint Institutional Review Board of Taipei Medical University (TMU-JIRB No.: N201701062 & N201812078).\u201d"}
+{"text": "In the article titled \u201cCritical Incident Disclosing Behaviors and Associated Factors among Nurses Working in Amhara Region Referral Hospitals, Northwest Ethiopia: A Cross-Sectional Study\u201d , there w"}
+{"text": "Due to a production error, the title was incorrectly written as \u201cMetformin Downregulates PD-L1 Expression in Esophageal Squamous Cell Catrcinoma by Inhibiting IL-6 Signaling Pathway\u201d. The correct title is \u201cMetformin Downregulates PD-L1 Expression in Esophageal Squamous Cell Carcinoma by Inhibiting IL-6 Signaling Pathway\u201d.The publisher apologizes for this mistake.The original version of this article has been updated."}
+{"text": "Nature Communications 10.1038/s41467-021-27668-9, published online 26 January 2022.Correction to: In this article the author name \u2018Agustin Ibanez\u2019 was incorrectly written as \u2018Augustin Ibanez\u2019. The original article has been corrected."}
+{"text": "Scientific Reports 10.1038/s41598-021-81462-7, published online 21 January 2021Correction to: This Article contains a typographical error in the Introduction section where,Coronaviridae is a matter of global concern.\u201d\u201cSARC-CoV2, an enveloped single stranded positive sense RNA virus belonging to family Should read:Coronaviridae is a matter of global concern.\u201d\u201cSARS-CoV2, an enveloped single stranded positive sense RNA virus belonging to family"}
+{"text": "Scientific Reports 10.1038/s41598-021-02863-2, published online 06 December 2021Correction to: The original version of this Article contained an error in the key for Figure\u00a03, where the light green colour indicating \u201cSevere\u201d was incorrectly labelled as \u201cD2Dx test score.\u201dThe original Figure\u00a0The original Article has been corrected."}
+{"text": "Correction to: Clinical Rheumatology10.1007/s10067-020-05546-xThe original version of this article contained error.\u201c(=33:52 h:mm)\u201d, it should have been \u201c (= 3:52 h : mm)\u201d. The original article has been corrected.In the last part of the formula under section \u201cNorm group data for timing sleep-wake behaviour in general population (study aim 1)\u201d was described"}
+{"text": "Scientific Reports 10.1038/s41598-021-99163-6, published online 12 October 2021Correction to: The original version of this Article contained errors in Equations\u00a024\u201326.In Equation\u00a024, \u201cIn Equation\u00a025, \u201cIn Equation\u00a026, \u201cnow reads:The original Article has been corrected."}
+{"text": "In the manuscript \u201cEducational program for the promotion of knowledge, attitudes and preventive practices for children in relation to traffic accidents: Experimental study\u201d, DOI: 10.1590/1984-0462/;2019;37;4;00012, published in the Rev Paul Pediatr. 2019;37(4):458-64, on page 463.Where it reads:FundingThis study did not receive funding.It should read:FundingThis study was \ufb01nanced in part by the Coordena\u00e7\u00e3o de Aperfei\u00e7oamento de Pessoal de N\u00edvel Superior - Brasil (CAPES) - Finance Code 001."}
+{"text": "Nature Communications 10.1038/s41467-021-25998-2, published online 28 September 2021.Correction to: +\u2012anctional anal3\u203eanctional analysist assays>\u2019. The correct version states \u2018\u2019 in place of \u2018\u2019. This has been corrected in both the PDF and HTML versions of the Article.The original version of this Article contained an error in the \u2018Methods\u2019 section, which incorrectly read \u2018C. Accordingly, \u201cp.(Ala105Phe)\u201d should be corrected to \u201cp.(Ala105Pro)\u201d in the Results and Discussion. Also, In the article titled \u201cGenotype-Phenotype Characterization of Novel Variants in Six Italian Patients with Familial Exudative Vitreoretinopathy\u201d , there w"}
+{"text": "Scientific Reports6: Article number: 3342110.1038/srep33421; published online: 09152016; updated: 11112016This Article contains typographical errors. In the Materials and Methods section, under the subheading \u201cProtein adsorption assay\u201d\u201cThe protein solution was pipetted onto and spread over each sample surface immediately and 28 days after treatment using UV or NTAPPJ treatment\u201d.should read:\u201cThe protein solution was pipetted onto and spread over each sample surface immediately and 28 days after treatment using UV or NTAPPJ treatment\u201d.In the Results section, under the subheading \u201cChanges in surface chemical compositions in the UV- and NTAPPJ-treated groups\u201d\u201cHowever, the peaks of both UV- and NTAPJJ-treated groups were markedly decreased over time.\u201dShould read:\u201cHowever, the peaks of both UV- and NTAPPJ-treated groups were markedly decreased over time.\u201d"}
+{"text": "Sofia Toniolo's name appeared incorrectly.In the article, \u201cIs cerebral glucose metabolism related to blood\u2013brain barrier dysfunction and intrathecal IgG synthesis in Alzheimer disease? A 18F-FDG PET/CT study\u201d,"}
+{"text": "Caroline Grangeaon's name should have appeared as Caroline Grangeon-Chapon.In the article, \u201cFalse positive"}
+{"text": "In the article titled \u201cVisual Acuity Changes during Pregnancy and Postpartum: A Cross-Sectional Study in Iran\u201d , there w"}
+{"text": "In the article titled \u201cPercutaneous Transforaminal Endoscopic Lumbar Interbody Fusion: Clinical and Radiological Results of Mean 46-Month Follow-Up\u201d , the ima"}
+{"text": "Nature Communications 10.1038/s41467-017-02127-6, published online 12 December 2017Correction to: y-axis \u2018Strain energy (kbT)\u2019 was labelled \u2018Probability\u2019 and the left y-axis \u2018Probability\u2019 was labelled \u2018Strain energy (kbT)\u2019. This error has now been corrected in both the PDF and HTML versions of the Article.The originally published version of this Article contained an error in Figure 5. In panel f, the right"}
+{"text": "Scientific Reports6: Article number: 28506; 10.1038/srep28506 published online: 06242016; updated: 12082016.In this Article the Authors incorrectly stated that they had developed a novel method termed bisulfite amplicon sequencing (BSAS). The method was reported by Masser et al. (reference 18 in the Article). Thus the following sentence (which appears verbatim in ref 18):18\u201d.\u201cBy combining the benefits of bisulfite conversion, targeted amplification, tagmentation-based library construction, and NGS, we have developed a novel method termed bisulfite amplicon sequencing (BSAS) for targeted digital high accuracy quantitation of DNA methylationshould read:18\u201d.\u201cIn a previous study, Masser et al. developed a method termed bisulfite amplicon sequencing (BSAS) for targeted digital high accuracy quantitation of DNA methylation by combining the benefits of bisulfite conversion, targeted amplification, tagmentation-based library construction, and NGSThe following sections in \u201cMaterials and Methods\u201d failed to appropriately cite the protocols followed:\u201cDNA bisulfite conversion and bisulfite specific PCR\u201d.should read:13\u201d.\u201cDNA bisulfite conversion and bisulfite specific PCR\u201cNGS library preparation and sequencing\u201d.should read:18\u201d.\u201cNGS library preparation and sequencing\u201cReal-time PCR analysis\u201d.should read:13\u201d.\u201cReal-time PCR analysisAn additional reference is listed below as reference \u201cNGS data analysis and digital methylation quantitation\u201d.should read:\u201cNGS data analysis and digital methylation quantitationThe Authors apologize for these errors."}
+{"text": "Copernicia prunifera (Miller) H. E. Moore in Mice Diet-Induced Hypercholesterolemia\u201d [In the article titled \u201cAntihypercholesterolemic Effects of Fruit Aqueous Extract ofrolemia\u201d , Dr. Pau"}
+{"text": "The genus Streptococcus (Streptococcus pyogenes (Lancefield group A \u03b2-hemolytic streptococcus), S. pneumoniae, and other species.From the Greek tococcus was name"}
+{"text": "Scientific Reports6: Article number: 2657010.1038/srep26570; published online: 05272016; updated: 08302016This Article contains an error in Figure 4a: the upper right \u201chTPC2 rescue\u201d trace is a duplication of the upper left \u201ccontrol\u201d trace. The correct Figure 4 appears below as"}
+{"text": "Scientific Reports 10.1038/s41598-017-11542-0, published online 12 September 2017Correction to: meas\u201d is incorrectly listed as \u201cR sym\u201d.This Article contains a typographical error in Table 1. In the \u2018Data Collection\u2019 column, \u201cR"}
+{"text": "The corresponding author should have appeared as \u201cLanjuan Li, Collaborative Innovation Center for Diagnosis and Treatment of Infectious Diseases, the First Affiliated Hospital, Zhejiang University, Hangzhou, China. email: li_doctor@yeah.net.\u201dIn the article \u201cExtracorporeal membrane oxygenation treatment of a H7N9-caused respiratory failure patient with mechanical valves replacement history: A case report\u201d,"}
+{"text": "Nevertheless, no information was available about the structural details of these of \u03b12\u20136-sialylated glycans. Here we used high performance liquid chromatography (HPLC) analysis combined with mass spectrometry (MS) to perform a structural and quantitative glycome analysis targeting both N- and O-glycans derived from early (with differentiation ability) and late (without differentiation ability) passages of adipose tissue-derived hMSCs. Findings in these cells were compared with those from human induced pluripotent stem cells (hiPSCs), human dermal fibroblasts (hFibs) and cartilage tissue-derived chondrocytes. A higher percentage of \u03b12\u20136-sialylated N-glycans was detected in early passage cells compared with late passage cells (13\u201315\u00a0%). A major \u03b12\u20136-sialylated N-glycan structure detected in adipose-derived hMSCs was that of mono-sialylated biantennary N-glycan. Similar results were obtained for the cartilage tissue-derived chondrocytes, Yub621c (28\u00a0% for passage 7 and 5\u00a0% for passage 28). In contrast, no significant differences were observed between early and late passage hMSCs with respect to \u03b12\u20136-sialylated O-glycan percentages. These results demonstrate that levels of \u03b12\u20136-sialylated N-glycans, but not O-glycans, could be used as markers of the differential potential of hMSCs.Human somatic stem cells such as mesenchymal stem cells (hMSCs) have the capacity to differentiate into mesenchymal tissue lineages and to alter immune regulatory functions. As such, they hold promise for use in stem cell-based therapies. However, no method is currently available to evaluate the actual differentiation capacity of hMSCs prior to cell transplantation. Previously, we performed a comprehensive glycan profiling of adipose-derived hMSCs using high-density lectin microarray and demonstrated that The percentage of sialyl Tn was observed to be higher in late passage cells (lot#: 2117 P26 and lot#: 2118 P28) compared with early passage cells (lot#: 2117 P5 and lot#: 2118 P3).Asialo complex type No.13\u201316) and sialylated 3\u201316 and s No. 17\u20137 were als No. 17\u20137 were alN- and O-glycans of adipose-derived hMSCs were compared to hiPSCs (cell line 201B7) as a representative of human pluripotent stem cells, and to hFibs as a representative of somatic cells, in addition to another type of somatic stem cell, cartilage tissue-derived chondrocytes Fig. . All of O-glycan signatures were different depending on the cell types under consideration. Interestingly, adipose-derived hMSCs gave a high percentage of sialylated O-glycans (average 84\u00a0%) relative to hiPSCs (39\u00a0%), hFibs (59\u00a0%), and cartilage-derived chondrocytes (31\u00a0%).In contrast, the overall N- and O-glycans, where \u201c\u03b12\u20133Sia\u201d and \u201c\u03b12\u20136Sia\u201d indicate N- or O-glycans containing \u03b12\u20133Sia and \u03b12\u20136Sia, respectively, and \u201c\u03b12\u20133Sia\u00a0+\u00a0\u03b12\u20136Sia\u201d indicate N- or O-glycans containing both \u03b12\u20133Sia and \u03b12\u20136Sia.We subsequently focused our attention on sialylation, since \u03b12\u20136Sia-binding lectins showed stronger binding to early passage hMSCs derived from adipocytes and bone marrow than their corresponding late passage cells, as previously reported . Figure N-glycans, 201B7 hiPSCs expressed exclusively \u03b12\u20136Sia (100\u00a0%), whereas, in contrast, hFibs expressed mostly \u03b12\u20133Sia (1\u00a0% for \u03b12\u20136Sia) [N-glycans was indeed higher in early passage adipose-derived hMSCs than for corresponding late passage cells . Similarly, early passage cartilage tissue-derived chondrocytes (29\u00a0% for P7) expressed a higher percentage of \u03b12\u20136-sialylated N-glycans than corresponding late passage cells (5\u00a0% for P28). A major \u03b12\u20136-sialylated N-glycan structure detected in adipose-derived hMSCs and cartilage tissue-derived chondrocytes was \u201cmono-sialylated biantennary N-glycan\u201d and disialyl T GalNAc) were also detected in O-glycans . In agre\u03b12\u20136Sia) , the perN- and O-glycans derived from 201B7 hiPSCs and hFibs representing undifferentiated and differentiated cells, respectively, using the same strategy described in the present report [N-glycans of 201B7 hiPSCs was found to consist exclusively of \u03b12\u20136Sia, whereas that of hFibs was mostly of the \u03b12\u20133Sia type [N-glycans, but not O-glycans, was found to be higher in early passage cells than late passage cells. Therefore, \u03b12\u20136-sialylaed N-glycans could serve as markers of the differentiation potential of stem cells.Previously, we performed a quantitative glycome analysis targeting both t report . A dramaSia type . RecentlSia type . SimilarSNA and SSA, but not TJA1 and rPSL1a, bound to bovine submaxillary mucins expressing sTn as described in the previous report . TherefoN-glycans, but not O-glycans. This might be the reason why \u03b12\u20136\u2013sialylation on N-glycans, but not O-glycans, changes depending on the differentiation potential of hMSCs. Combined with our findings showing that \u03b12\u20136Sia is dominant on N-glycans of hiPSCs and correlates with the differentiation capacity of cells, it seems that the expression of \u03b12\u20136-sialylated N-glycans is associated with \u201cstemness\u201d.The expression of \u03b12\u20136-sialyltransferase has been shown to play an important role in the regulation of cellular pluripotency in human pluripotent stem cells \u201320. TherN-glycosylation sites is one of the carrier proteins of \u03b12\u20136Sia in cartilage tissue-derived chondrocytes [What are the roles of \u03b12\u20136Sia in stem cell functions? Previously we showed that \u03b15integrin with 14\u00a0drocytes . \u03b15\u03b21intdrocytes . TherefoN-glycans varies depending on the differentiation potential of stem cells. Rapid, sensitive, and nondestructive process analytical testing (PAT) is essential for the stable supply of hMSCs, which could be used for monitoring during the cell production process. The quality control system to assess hMSCs for use as CTPs will become increasingly more important and stringent from the viewpoint of regulatory science.The development of novel markers to evaluate the properties of hMSCs is keenly required for the realization of safe stem cell-based therapy, with such cells being used as hCTPs in regenerative medicine to treat various diseases. Here we have provided structural evidence showing that the expression of \u03b12\u20136-sialylated"}
+{"text": "The phrase \u201cT2-Imaging\u201d should be \u201cT2\u2019-Imaging.\u201d The publisher apologizes for the error. Please download this article again to view the correct version. The originally published, uncorrected article and the republished, corrected article are provided here for referenceS1 File(PDF)Click here for additional data file.S2 File(PDF)Click here for additional data file."}
+{"text": "Scientific Reports4: Article number: 5539; 10.1038/srep05539 published online: 07022014; updated: 04072017.Ribonucleotide Reductase Assay\u2019.This Article contains a typographical error in the Methods section under subheading \u2018+]-form columns prepared by replacing the Sephadex in NAP-10 columns (Amersham Bioscience) with 2\u2009mL of Dowex from Bio-Rad pre-packed columns\u201d.\u201cSupernatants were loaded onto pre-washed 2\u2009mL Dowex AG 1X8, 200\u2013400 in [Hshould read:+]-form columns prepared by replacing the Sephadex in NAP-10 columns (Amersham Bioscience) with 2\u2009mL of Dowex from Bio-Rad pre-packed columns\u201d.\u201cSupernatants were loaded onto pre-washed 2\u2009mL Dowex AG 50W-X8, 200\u2013400 in [H"}
+{"text": "PGJ2\u201d [In the article titled \u201cA Model for Spheroid versus Monolayer Response of SK-N-SH Neuroblastoma Cells to Treatment with 15-Deoxy-"}
+{"text": "B10203013.In the article, \u201cLong-term effectiveness of the Diabetes Conversation Map Program: A prepost education intervention study among type 2 diabetic patients in Taiwan\u201d,"}
+{"text": "In the article titled \u201cHyperglycemia Induces Toll-Like Receptor-2 and -4 Expression and Activity in Human Microvascular Retinal Endothelial Cells: Implications for Diabetic Retinopathy\u201d an error"}
+{"text": "In the article titled \u201cExtraction of HCV-RNA from Plasma Samples: Development towards Semiautomation\u201d , the nam"}
+{"text": "Am J Trop Med Hyg 98(1):57\u201366 by Lui et al(https://doi.org/10.4269/ajtmh.17-0437) there is an error in the text. In thefirst sentence of the \u201cExperimental design and statistical rationale\u201d headingon page 58 it reads \u201cA total of 515 experimental plasma samples were probed by protein microarray.\u201d It shouldinstead read \u201cA total of 508 experimental plasma samples were probed by protein microarray.\u201dIn"}
+{"text": "In the article titled \u201cSugammadex-Enhanced Neuronal Apoptosis following Neonatal Sevoflurane Exposure in Mice\u201d , the con"}
+{"text": "A\u00a021-year-old female patient presented with unexplained weight gain and dyspnoea on exertion. The ECG showed third-degree atrioventricular (AV) block with a\u00a0junctional escape rhythm of 45\u2009bpm (Fig."}
+{"text": "In the original publication [was one of the author names spelled wrong.lication was one Wrong: F\u00e9lix Alejandro Ayala-ParadesShould have read: F\u00e9lix Alejandro Ayala-ParedesThe original article was updated to rectify this error."}
+{"text": "Scientific Reports 10.1038/s41598-017-08401-3, published online 15 August 2017Correction to: This Article contains an error in Figure 5, where the \u2018undisturbed\u2019 and \u2018disturbed\u2019 bars for the control sample are reversed. The correct Figure 5 appears below as Figure"}
+{"text": "Candidatus Carsonella ruddii\u201d strain BT from Bactericera trigonica in Israel was sequenced. The full-length genome is 173,904\u00a0bp long and has a G+C content of 14.6%, with 224 predicted open reading frames (ORFs) and 30 RNAs.The genome of \u201c Candidatus Carsonella ruddii\u201d is an obligate symbiont of psyllids , which are plant phloem-feeding insects (Ca. Carsonella ruddii\u201d associated with the carrot psyllid B.\u00a0trigonica from Israel.Certain psyllid species are vectors of the plant-pathogenic \u201cectively \u20135. Anothdisease) . We repoB.\u00a0trigonica, adult psyllids were harvested and flash frozen. Genomic DNA was prepared from three samples, one containing 4 adult psyllids (Ca. Carsonella ruddii.\u201d A BLAST search of assembled contigs found the complete \u201cCa. Carsonella ruddii\u201d genome on one contig. The genome was submitted to the Joint Genome Institute (JGI) IMG/M system reported here with the ANIs of the following nine \u201cCa. Carsonella ruddii\u201d genome assemblies listed in NCBI: Pachypsylla venusta (strain PV) (GenBank assembly accession number GCA_000010365) (GCA_000287235) (Ctenarytaina\u00a0spatulata (strain CS) (GCA_000287255) (Heteropsylla cubana (strain HC) (GCA_000287275) (Heteropsylla\u00a0texana (strain HT) (GCA_000287295) (Pachypsylla sp. \u201cceltidis\u201d (strain PC) (GCA_000287315) (Diaphorina\u00a0citri (strain DC) (GCA_000441575) (D.\u00a0citri (strain YCCR) (GCA_001274515) (B.\u00a0cockerelli (strain BC) (GCA_002009355) (Ca. Carsonella ruddii\u201d strain BT has the strongest relationship by ANI to \u201cCa. Carsonella ruddii\u201d strain BC (89.9%), which is the primary endosymbiont of the same psyllid genus (Bactericera). The lowest ANI score is with \u201cCa. Carsonella ruddii\u201d strain PC (73.89%). Between \u201cCa. Carsonella ruddii\u201d strains BT and DC, the ANI was 79.38%. The low ANI values shared between \u201cCa. Carsonella ruddii\u201d strains may be the result of limiting replicative environments, as well as the effect that the loss of DNA repair enzymes has on genome evolution and 30 RNAs . We compared the average nucleotide identity (ANI) of \u201c0010365) , Ctenary0287235) , Ctenary0287255) , Heterop0287275) , Heterop0287295) , Pachyps0287315) , DiaphorCa. Carsonella ruddii\u201d strain BT is deposited at GenBank, NCBI, under the accession number CP024798.The complete genome sequence of \u201c"}
+{"text": "In the article titled \u201cNutritional Risk Factors for Age-Related Macular Degeneration\u201d , \u201cApolip"}
+{"text": "Scientific Reports 10.1038/s41598-017-01480-2, published online 28 April 2017Correction to: This Article contains typographical errors. In the Results section under subheading \u2018KLT inhibits NF-\u03ba\u0392 to sensitize colorectal cancer cell lines to Taxol\u2019,\u201cIn the cytosolic protein component , NF-\u03ba\u0392 was slightly down-regulated by Taxol and slightly upregulated by KLT.\u201dshould read:\u201cIn the cytoplasmic protein component , NF-\u03ba\u0392 was slightly down-regulated by Taxol and slightly upregulated by KLT.\u201dIn the Methods section under subheading \u2018\u201cParachute\u201d dye-coupling assay\u2019,et al.28\u201d\u201cFunctional GJIC was examined by the \u201cParachute\u201d dye-coupling assay, which was described by Wang should read:et al.30\u201d\u201cFunctional GJIC was examined by the \u201cParachute\u201d dye-coupling assay, which was described by Yu"}
+{"text": "Scientific Reports 10.1038/s41598-017-07827-z, published online 07 August 2017Correction to: This Article contains typographical errors in Table 1.For the Human v1, Brunello, Whitehead and Toronto KnockOut v3 libraries, the references should read \u201837\u2019, \u201827\u2019, \u201820\u2019 and \u201831\u2019 respectively."}
+{"text": "Scientific Reports7:628; doi:10.1038/s41598-017-00744-1; Article published online 04 April 2017In the original version of this Article, some instances of \u201cCSN\u201d were incorrectly given as \u201cCNS\u201d. This error has now been corrected in the PDF and HTML versions of the Article."}
+{"text": "Am J Trop Med Hyg 97(2): 403\u2013406 by Kim et al (https://doi.org/10.4269/ajtmh.16-0570) there is a note that reads\u201cFinancial support: This study was supported by research funds from ChosunUniversity Hospital 2016.\u201d This note should be deleted.In"}
+{"text": "Scientific Reports 10.1038/s41598-017-00805-5, published online 12 April 2017Correction to: This Article contains a typographical error in the Materials and Methods section under subheading \u2018Data Analysis\u2019.should read:"}
+{"text": "The article has since been corrected online.In the article \u201cComparative Treatment Failure Rates of Respiratory Fluoroquinolones or \u03b2-Lactam\u200a+\u200aMacrolide Versus \u03b2-Lactam Alone in the Treatment for Community-Acquired Pneumonia in Adult Outpatients: An Analysis of a Nationally Representative Claims Database\u201d,"}
+{"text": "In the article titled \u201cContent Patterns in Topic-Based Overlapping Communities\u201d, the \u201cAck"}
+{"text": "Scientific Reports6: Article number: 3734010.1038/srep37340; published online: 11232016; updated: 03232017The Acknowledgements section in this Article is incomplete.\u201cKarla Itzel Vazquez Santillan was supported by a fellowship from CONACYT (165306), and this study is part of her doctoral thesis from the Biomedical Sciences Doctorate Program, Faculty of Medicine, Universidad Nacional Autonoma de Mexico. This project was partially supported by CONACYT grant CB-2009-01-132931\u201d.should read:\u201cKarla Itzel Vazquez Santillan is a doctoral student from Programa de Doctorado en Ciencias Biom\u00e9dicas, Universidad Nacional Aut\u00f3noma de M\u00e9xico (UNAM) and received fellowship 165306 from CONACYT. This project was partially supported by CONACYT grant CB-2009-01-132931\u201d."}
+{"text": "In the article titled \u201cSelf-Reported Adverse Drug Reactions, Medication Adherence, and Clinical Outcomes among Major Depressive Disorder Patients in Ethiopia: A Prospective Hospital Based Study\u201d , the nam"}
+{"text": "Suter, Battegay, and Schmid were incorrectly reported as having PhDs. In fact, all three authors are MDs.In the article \u201cEffect of vitamin D3 on self-perceived fatigue: A double-blind randomized placebo-controlled trial\u201d,"}
+{"text": "Salmonella Oslo Infections Linked to Persian Cucumbers \u2014 United States, 2016,\u201d the footnote on page 1430 should have read \u201c\u2020https://www.cdc.gov/foodnet/surveys/population.html.\u201dIn the report \u201cOutbreak of"}
+{"text": "Linum usitatissimum L.)\u201d [here.In the article titled \u201cmiR319, miR390, and miR393 Are Involved in Aluminum Response in Flax ("}
+{"text": "Scientific Reports 10.1038/s41598-017-05870-4, published online 18 July 2017Correction to: The Acknowledgements section in this Article is incomplete.\u201cAT is supported by the ESRC grant ES/K001477/1 (\u201cThe hearing body\u201d) and by a Spanish \u201cMinisterio de Econom\u00eda y Competitividad\u201d Ram\u00f3n y Cajal research contract (RYC-2014-15421). OD, MF and AM are supported by the AHRC RTS (\u201cRethinking the senses\u201d) grant AH/L007053/1. We thank Nick Wilkinson for helping with data collection, Temitayo Olugbade for helping with EMG recordings, and Alejandro Galvao Carmona, Vincent Hayward, Milagrosa S\u00e1nchez Mart\u00edn and Matthew Longo for their helpful suggestions.\u201dshould read:\u201cAT was supported by the ESRC grant ES/K001477/1 (\u201cThe hearing body\u201d) and by RYC-2014\u201315421 and PSI2016-79004-R , Ministerio de Econom\u00eda, Industria y Competitividad of Spain. OD, MF and AM were supported by the AHRC RTS (\u201cRethinking the senses\u201d) grant AH/L007053/1. We thank Nick Wilkinson for helping with data collection, Temitayo Olugbade for helping with EMG recordings, and Alejandro Galvao Carmona, Vincent Hayward, Milagrosa S\u00e1nchez Mart\u00edn and Matthew Longo for their helpful suggestions.\u201d"}
+{"text": "Scientific Reports 10.1038/s41598-018-22825-5, published online 15 March 2018Correction to: This Article contains typographical errors. In the Discussion section, all instances of\u201cEttenhoffer and Bardy\u201dshould read:\u201cEttenhofer and Barry\u201d."}
+{"text": "In the article titled \u201cGlutathione Peroxidase Level in Patients with Vitiligo: A Meta-Analysis\u201d , the ord"}
+{"text": "In the article titled \u201cLocal and Systemic Cardiovascular Effects from Monochromatic Infrared Therapy in Patients with Knee Osteoarthritis: A Double-Blind, Randomized, Placebo-Controlled Study\u201d , affilia"}
+{"text": "Scientific Reports 10.1038/s41598-017-06948-9, published online 02 August 2017Correction to: This Article contains an error in the legend of Figure 1.\u201c(b) Proportion of primary (in dark grey) compared to secondary (in light grey) drivers associated with different numbers of climate drivers\u201dshould read:\u201c(b) Proportion of primary (in light grey) compared to secondary (in dark grey) drivers associated with different numbers of climate drivers\u201dAdditionally, in the Results section,\u201cBy contrast, the distributions for protozoa (N\u2009=\u20097) and helminths (N\u2009=\u20096) were left-skewed or bell-shaped .\u201dshould read:\u201cBy contrast, the distributions for protozoa (N\u2009=\u20097) and helminths (N\u2009=\u20096) were left-skewed or bell-shaped .\u201d"}
+{"text": "Scientific Reports7: Article number: 4235610.1038/srep42356; published online: 02142017; updated: 03232017This Article contains an error in the Acknowledgements section.\u201cThis work has been supported by the Russian Scientific Foundation grant No. 15-13-20021\u201d.should read:\u201cThis work has been supported by the Russian Science Foundation grant No. 15-13-20021\u201d."}
+{"text": "In Figure 2(a) of the published article entitled \u201cmiR-1-Mediated Induction of Cardiogenesis in Mesenchymal Stem Cells via Downregulation of Hes-1,\u201d ["}
+{"text": "In the article titled \u201cPlant-Derived Antioxidants in Disease Prevention\u201d , affilia"}
+{"text": "Scientific Reports6: Article number: 31797; 10.1038/srep31797 published online: 08182016; updated: 04212017.In this Article, the compounds in the titles of Table 1 and Figure 9 have been mislabelled.The title of Table 1:\u201cZero-order kinetic parameters of X-3B degradation\u201d.should read:\u201cZero-order kinetic parameters of Scarlet 3R degradation\u201d.The title of Figure 9:\u201cUV\u2013vis absorption spectra changes of an AO7 aqueous solution during Al-Cu alloys treatment\u201d.should read:\u201cUV\u2013vis absorption spectra changes of a Scarlet 3R aqueous solution during Al-Cu alloys treatment\u201d."}
+{"text": "After publication, the authors were made aware of incorrect primer sequences listed for PPAR\u03b1 in the Mice section of Materials and methods.The correct primer sequences used to amplify PPAR\u03b1 cDNAs are as follows:\u2032-GAGAAGTTGCAGGAGGGGATTGTG-3\u2032Sense: 5\u2032-CCCATTTCGGTAGCAGGTAGTCTT-3\u2032Antisense: 5"}
+{"text": "Scientific Data 5:180016 doi: 10.1038/sdata.2018.16 (2018); Published 20 February 2018; Updated 27 March 2018.In Fig. 5 of this Data Descriptor the bottom-most y-axis label was inadvertently changed from \u2018\u0394PPT (mm)\u2019 to \u2018\u0394PPT (min)\u2019 during the production process. The correct version of Fig. 5 appears below as"}
+{"text": "The article has since been corrected online.In the article \u201cImmunologic Monitoring of T-Lymphocyte Subsets and HLA-DR-Positive Monocytes in Kidney Transplant Recipients: A Prospective, Observational Cohort Study\u201d,"}
+{"text": "In the Funding section, the grant number from the funder Austrian Science Foundation \u201cFonds zur F\u00f6rderung der wissenschaftlichen Forschung\u201d is listed incorrectly. The correct grant number is: P29032-N32."}
+{"text": "Leishmania Infection: Adding Layers of Complexity to a Complex Disease\u201d [Frontiers in Cellular and Infection Microbiology, 2:83, 2012:In the paragraph beginning with \u201cSeveral reports show\u2026\u201dL. major infection,\u201d \u201cBaldwin et al. found\u2026infected C57BL/6 mice,\u201d and \u201cIt is not clear whether\u2026protective or pathogenic T cell responses.\u201dIn the paragraphs beginning with \u201cEarly studies demonstrated\u2026where they present parasite-derived antigen to T cells,\u201d \u201cThe production of IL-12 by APCs \u2026 downregulate IL-12p40 production in response to leishmaniasis.\u201dIn the paragraph beginning with \u201cDCs express a wide variety\u2026immunity against In the paragraphs beginning with \u201cGiven the fact that\u2026multi-species/strain comparison\u201d and \u201cA more comprehensive\u2026activation of the adaptive immune system.\u201dDong Liu and Jude E. Uzonna, \u201cMacrophages and dendritic cells and its influence on the host immune response,\u201d Microbes and Infection, vol. 6, Issue 15, pp. 1402\u20131409, December 2004, http://www.sciencedirect.com/science/article/pii/S1286457904003053:In the paragraph beginning with \u201cDendritic cells (DCs) are a family of professional antigen-presenting cells (APCs)\u2026a wide range of microbial stimuli.\u201dOlga Brandonisio, Rosa Spinelli, and Maria Pepe: \u201cDendritic cells in Leishmania infection,\u201d Leishmania infection: progress in pathogenesis research and experimental therapy,\u201d Experimental Dermatology, 16: 340\u2013346, 2007, http://onlinelibrary.wiley.com/doi/10.1111/j.1600-0625.2007.00554.x/abstract:Leishmania parasites\u2026after the infection is healed\u201d and in the paragraph beginning with \u201cCurrent paradigms\u2026activation and killing of parasites.\u201dIn the sentence beginning with \u201cInfection with Von Stebut, \u201cCutaneous Leishmania spp.,\u201d Frontiers in Immunology, 26 November 2014, https://doi.org/10.3389/fimmu.2014.00604:Leishmania species that cause CL.\u201dIn the paragraph beginning with \u201cNowadays, different in silico approaches\u2026one or all Rafael de Freitas e Silva, Maria Carolina Accioly Brelaz de Castro, Ant\u00f4nio Mauro Rezende, and Val\u00e9ria R\u00eago Alves Pereira, \u201cTargeting dendritic cells as a good alternative to combat The article titled \u201cDendritic Cells and Disease\u201d was founThe first author Daniel Feij\u00f3 apologizes for these errors."}
+{"text": "In the article titled \u201cT Helper 17/Regulatory T Cell Balance and Experimental Models of Peritoneal Dialysis-Induced Damage\u201d [This work was supported in part by grants from Ministerio de Economia y Competitividad SAF2010-21249 to Manuel L\u00f3pez-Cabrera, Comunidad Aut\u00f3noma de Madrid 2010-BMD2321 (FIBROTEAM) to Manuel L\u00f3pez-Cabrera, and Fondo de Investigaciones Sanitarias RETICS 06/0016 and PI 09/0064 to Rafael Selgas and from Fondo de Investigaciones Sanitarias (FIS)-FEDER funds, PI 12/01175 Instituto Carlos-III to Abelardo Aguilera Peralta. Georgios Liappas is fully supported from European Union, Seventh Framework Program \u201cEuTRiPD,\u201d under Grant Agreement PITN-GA-2011-287813. The authors would like to thank Juliette Siegfried and her team at ServingMed.com for editing the language of the paper."}
+{"text": "Scientific Reports6: Article number: 3851910.1038/srep38519; published online: 12082016; updated: 05032017This Article contains an error in the Acknowledgments section, where:\u201cThis work is supported by Austrian Science Fund (FWF Der Wissenschaftsfonds) through project I- 1778-N20\u201d.should read:\u201cThis work is supported by Austrian Science Fund (FWF Der Wissenschaftsfonds) through project I1788-N20\u201d."}
+{"text": "On page 6, in In the Surveillance Summary \u201cHealth-Related Behaviors by Urban-Rural County Classification \u2014 United States, 2013,\u201d errors occurred in Table 1 and"}
+{"text": "Saeed's name was misspelled. The correct name is Ummair Saeed.In the article \u201cDiagnostic accuracy of tumor necrosis factor-alpha assay for tuberculous pleurisy: A PRISMA-compliant meta-analysis\u201d,"}
+{"text": "In Vitro, and Increases Bone Density In Vivo\u201d [In the article titled \u201cMetformin Decreases Reactive Oxygen Species, Enhances Osteogenic Properties of Adipose-Derived Multipotent Mesenchymal Stem Cells In Vivo\u201d , an ackn"}
+{"text": "In the article titled \u201cAll-Atom Four-Body Knowledge-Based Statistical Potentials to Distinguish Native Protein Structures from Nonnative Folds\u201d , there w"}
+{"text": "Scientific Reports6: Article number: 30784; 10.1038/srep30784 published online: 08082016; updated: 10102016.In the Supplementary Information file originally published with this Article there was an error in Supplementary Figure 1b, where the y-axis \u201cGFP\u201d and x-axis \u201cCD4\u201d were inverted. These errors have been corrected in the Supplementary Information that now accompanies the Article."}
+{"text": "The genesis of the AIDS policy and AIDS Space in Brazil (1981-1989)\u201d published in the \u201cRevista de Sa\u00fade P\u00fablica\u201d, 2016;50:43, DOI: http://dx.doi.org/10.1590/s1518-8787.2016050005801; on page 8, 7th paragraph.In the article: \u201cWhere it reads:\u201cazithromycin (AZT)\u201dIt should read:\u201czidovudine (AZT)\u201d."}
+{"text": "Scientific Reports 10.1038/s41598-017-03516-z, published online 13 June 2017Correction to: The original Supplementary data file published with this Article contained a typographical error where \u2018toxi\u2019 now reads \u2018chem\u2019. The correct Supplementary data file now accompanies the Article."}
+{"text": "Scientific Reports 10.1038/s41598-017-01014-w, published online 19 April 2017Correction to: Euwallacea fornicatus\u201d was incorrectly given as \u201cEuwallacea fornicates\u201d.The original version of this Article contained a typographical error in the Title, where \u201cThis has now been corrected in the HTML and PDF versions of this Article."}
+{"text": "In the article titled \u201cSodium Fluorescein-Guided Resection under the YELLOW 560\u2009nm Surgical Microscope Filter in Malignant Gliomas: Our First 38 Cases Experience\u201d , there w"}
+{"text": "Lancet Diabetes Endocrinol 3: 243\u2013532015; \u2014The open access licence was listed as \u201cCC-BY-NC-ND\u201d whereas it should have been \u201cCC-BY\u201d. This correction has been made as of May 21, 2015.T"}
+{"text": "Escherichia coli O157 Outbreaks in the United States, 2003\u20132012 inadvertently changed the meaning. The sentence should have read, \u201cThe median annual number of outbreaks reported during 2008\u20132012 was higher than during 2003\u20132007 .\u201d The article has been corrected online (https://wwwnc.cdc.gov/eid/article/21/8/14-1364_article).An incorrect word in a sentence in"}
+{"text": "Scientific Reports 10.1038/s41598-018-21402-0, published online 14 February 2018Correction to: The Acknowledgements section in this Article is incomplete.\u201cThis work was funded by the CNRS, The University of Grenoble Alpes. This work is a contribution to the Labex Serenade (n\u00b0 ANR-11-LABX-0064) funded by the \u00ab Investissements d\u2019Avenir\u00bb French Government program of the French National Research Agency (ANR) through the A*MIDEX project (n\u00b0 ANR-11-IDEX-0001\u201302).\u201dshould read:\u201cThis work was funded by the CNRS, The University of Grenoble Alpes. This work is a contribution to the Labex Serenade (n\u00b0 ANR-11-LABX-0064) funded by the \u00ab Investissements d\u2019Avenir\u00bb French Government program of the French National Research Agency (ANR) through the A*MIDEX project (n\u00b0 ANR-11-IDEX-0001\u201302). Finally, Dr. Mireille Chevallet is acknowledged for their assistance in performing the ICP experiments.\u201d"}
+{"text": "In the article titled \u201cBiomechanical Evaluation of a Tooth Restored with High Performance Polymer PEKK Post-Core System: A 3D Finite Element Analysis\u201d , there w"}
+{"text": "Vagotomy in wild-type mice also significantly increased the serum osteoprotegerin/RANKL ratio, and elevated bone mass seen in nAchR7\u2212/\u2212 mice was reversed in \u03b17nAchR/osteoprotegerin-doubly-deficient mice. \u03b17nAchR loss significantly increased TNF\u03b1 expression in Mac1-positive macrophages, and TNF\u03b1 increased the osteoprotegerin/RANKL ratio in osteoblasts. Targeting TNF\u03b1 in nAchR7\u2212/\u2212 mice normalized both serum osteoprotegerin/RANKL ratios and bone mass. Administration of nicotine, an \u03b17nAchR ligand, to wild-type mice increased serum RANKL levels. Thus, vagal nerve stimulation of macrophages via \u03b17nAchR regulates bone mass by modulating osteoclast formation.The nicotinic receptor \u03b17nAchR reportedly regulates vagal nerve targets in brain and cardiac tissue. Here we show that In terms of the former, activation of the sympathetic nervous system reportedly inhibits bone formation in response to leptin signals2022Here, we show that \u03b17nAchR is required to stimulate osteoclast formation and reduce bone mass by inhibiting circulating levels of OPG and elevating levels of RANKL. \u03b17nAchR-deficient mice exhibited increased bone mass due to an elevated OPG/RANKL ratio in serum, and increased bone mass seen in \u03b17nAchR-deficient mice was rescued in \u03b17nAchR/OPG double-knockout mice. TNF\u03b1 expression was aberrantly high in Mac1-positive macrophages among bone marrow cells in \u03b17nAchR-deficient mice, and increases in bone mass and the OPG/RANKL ratio seen in \u03b17nAchR-deficient mice were rescued in \u03b17nAchR/TNF\u03b1 double-knockout mice. Our results indicate overall that vagus nerve activity is required to maintain bone homeostasis by controlling systemic levels of OPG and RANKL via regulation of macrophage TNF\u03b1 expression.\u03b17nAchR\u2212/\u2212 relative to WT mice , number of osteoclasts per bone perimeter (N. Oc/B. Pm) and osteoclast surface per bone surface (Oc. S/BS) were significantly reduced in mutants, while osteoblastic parameters such as matrix apposition rate (MAR), bone formation rate (BFR) and osteoblast surface per bone surface (Ob. S/BS), were normal mice to yield \u03b17/OPG DKO mice. In \u03b17/OPG DKO mice, elevated bone mass and inhibited osteoclastogenesis seen in \u03b17nAchR\u2212/\u2212 mice were significantly rescued expression by realtime PCR in each; however, Tnfrsf11b expression was not detected in any of the three populations (data not shown). Serum RANKL levels were downregulated by transfer of \u03b17nAchR\u2212/\u2212 BM cell into either WT or \u03b17nAchR\u2212/\u2212 mice expression was significantly elevated by TNF\u03b1 but not IL-1\u03b2 in MC3T3-E1 osteoblastic cells in vitro (Tnfsf11 (RANKL) expression was significantly downregulated by TNF\u03b1 in MC3T3-E1 cells mice. Resulting double-knockout mice showed significantly reduced serum OPG and elevated RANKL, a reversal of what is seen in \u03b17nAchR\u2212/\u2212 single knockout mice The natural ligand of nAchRs is acetylcholine, an activity mimicked by nicotine. Smoking is a known risk factor for development of osteoporosis/osteopeniaTaken together, our data present new insight into regulation of bone homeostasis by the vagus nerve and how this interaction is mediated by inflammatory cytokine signaling.\u03b17nAchR+/\u2212, \u03b17nAchR\u2212/\u2212, Tnfrsf11b\u2212/\u2212 and Tnf\u03b1\u2212/\u2212 mice were maintained as described3537\u03b17nAchR\u2212/\u2212 and Tnfrsf11b\u2212/\u2212 mice or \u03b17nAchR\u2212/\u2212 and Tnf\u03b1\u2212/\u2212 mice were crossed to generate\u03b17nAchR\u2212/\u2212Tnfrsf11b\u2212/\u2212 or \u03b17nAchR\u2212/\u2212Tnf\u03b1\u2212/\u2212 mice, respectively.6 of bone marrow cells from 8-week-old donor (WT or \u03b17nAchR\u2212/\u2212) mice were transplanted intravenously into 10-week-old recipients (WT or \u03b17nAchR\u2212/\u2212), which were irradiated at a lethal dose immediately before transplant.Bone marrow transplantation was performed as previously described\u03b17nAchR\u2212/\u2212, Tnfrsf11b\u2212/\u2212, \u03b17nAchR\u2212/\u2212Tnfrsf11b\u2212/\u2212 or \u03b17nAchR\u2212/\u2212Tnf\u03b1\u2212/\u2212 mice, fixed with 70% ethanol and subjected to dual energy x-ray absorptiometric (DEXA) scanning to measure BMD (mg/cm2) at 20 proximal to distal points using a DCS-600R system . To evaluate bone architecture, micro-computed tomography (\u03bcCT) analysis was performed. Bone morphometric analysis and tartrate-resistant acid phosphatase (TRAP) staining were performed in tibiae from WT or \u03b17nAchR\u2212/\u2212 mice as describedFor bone mineral density (BMD) analysis, femurs were removed from WT, Animals were maintained under specific pathogen-free conditions in animal facilities certified by the Keio University animal care committee. Animal protocols were approved by that committee and carried our in accordance with the committee\u2019s guidelines.Bilateral subdiaphragmatic vagotomy or sham surgery was performed in 8-week-old WT mice as described\u03b17nAchR\u2212/\u2212, Tnfrsf11b\u2212/\u2212, \u03b17nAchR\u2212/\u2212Tnfrsf11b\u2212/\u2212 or \u03b17nAchR\u2212/\u2212Tnf\u03b1\u2212/\u2212 mice, and recipients transplanted with bone marrow cells twelve-week-after transplantation. Sera were also collected from vagotomized or nicotine administrated wild-type mice, or from mice administered 25\u2009mg/kg of Etanercept (Embrel\u00ae. Pfizer. Tokyo. Japan) twice a week for three weeks. OPG or RANKL levels in sera were examined by ELISA according to the manufacture\u2019s protocol (R&D).Sera were collected from 8-week-old WT, \u03b17nAchR\u2212/\u2212 mice were stained with FITC-conjugated anti-CD3, B220 or Mac1. Then, CD3-positive T cells, B220-positive B-cells and Mac1-positive monocyte/macrophage fractions were sorted separately using the B & D FACS AriaTM 2 system.Bone marrow mono-nuclear cells isolated from WT or Paraffin sections of tibia were deparaffinized and subjected to antigen retrieval as describedMacrophage colony-stimulating factor (M-CSF) and recombinant soluble receptor activator of nuclear factor \u03ba\u2013B ligand (RANKL) were purchased from Kyowa Hakko Kirin Co. and Pepro-Tech Ltd. , respectively. Nicotine and acetylcholine were obtained from Sigma-Aldrich .in vitro, bone marrow cells were isolated from femurs and tibiae of WT and \u03b17nAchR\u2212/\u2212 mice and cultured 3 days in \u03b1-modified Eagle\u2019s minimum essential medium (Sigma-Aldrich Co.) containing 10% heat-inactivated FBS and GlutaMax (Invitrogen Corp.) with M-CSF (50\u2009ng/ml). M-CSF-dependent adherent cells were then collected as osteoclast progenitors, and 5\u2009\u00d7\u2009104 cells were plated per well of 96-well culture plates and cultured with M-CSF (50\u2009ng/ml) and RANKL (25\u2009ng/ml) in the presence or absence of nicotine (1\u2009\u03bcM) or acetylcholine (1\u2009\u03bcM) for five days. Osteoclastogenesis was assessed by evaluation of TRAP and May-Giemsa staining under a microscope , and TRAP-positive cells containing more than three nuclei were scored as osteoclastsTo assess osteoclast formation Primary osteoblasts were isolated from newborn mouse calvariae as described\u03b2-actin expression was analyzed as an internal control. Primers for \u03b2-actin, Ctsk, Nfatc1, Tnf\u03b1, Tnfrsf11b (OPG) and Tnfsf11 (RANKL) are as follows.Total RNAs were isolated from cultured or sorted cells using the RNeasy mini kit (Qiagen), and cDNA was synthesized with oligo (dT) primers and reverse transcriptase (Takara Bio Inc). Quantitative PCR was conducted using the SYBR Premix ExTaq II with a DICE Thermal cycler (Takara Bio Inc.) according to the manufacturer\u2019s instructions. \u03b2-actin-forward: 5\u2032-TGAGAGGGAAATCGTGCGTGAC-3\u2032\u03b2-actin-reverse: 5\u2032-AAGAAGGAAGGCTGGAAAAGAG-3\u2032Ctsk-forward: 5\u2032-ACGGAGGCATTGACTCTGAAGATG-3\u2032Ctsk-reverse: 5\u2032-GGAAGCACCAACGAGAGGAGAAAT-3\u2032Nfatc1-forward: 5\u2032-CAAGTCTCACCACAGGGCTCACTA-3\u2032Nfatc1-reverse: 5\u2032-GCGTGAGAGGTTCATTCTCCAAGT-3\u2032Tnf\u03b1-forward: 5\u2032-CTTCTGTCTACTGAACTTCGGG-3\u2032Tnf\u03b1-reverse: 5\u2032-CAGGCTTGTCACTCGAATTTTG-3\u2032Tnfrsf11b (OPG)-forward: 5\u2032-GACCACAATGAACAAGTGGCTGT-3\u2032Tnfrsf11b (OPG)-reverse: 5\u2032-CCAGTTTCTGGGTCATAATGCAA-3\u2032Tnfsf11 (RANKL)-forward: 5\u2032-GCATCGCTCTGTTCCTGTACTTT-3\u2032Tnfsf11 (RANKL)-reverse: 5\u2032-CGTTTTCATGGAGTCTCAGGATT-3\u2032t-test . All data are expressed as means\u2009\u00b1\u2009SD.Statistical analysis was performed using the unpaired two-tailed Student\u2019s How to cite this article: Mito, K. et al. The nicotinic acetylcholine receptor \u03b17 subunit is an essential negative regulator of bone mass. Sci. Rep.7, 45597; doi: 10.1038/srep45597 (2017).Publisher's note: Springer Nature remains neutral with regard to jurisdictional claims in published maps and institutional affiliations."}
+{"text": "The correct name is: Iv\u00e1n Mej\u00eda-Guevara. The correct citation is: Gausman J, Mej\u00eda-Guevara I, Subramanian SV, Razak F (2018) Distributional change of women\u2019s adult height in low- and middle-income countries over the past half century: An observational study using cross-sectional survey data. PLoS Med 15(5): e1002568."}
+{"text": "Scientific Reports 7:7457; doi:10.1038/s41598-017-07568-z; Article published online 07 August 2017The original version of this Article contained errors in References 1\u201314, 16\u201328, 31\u201332 and 35\u201338. These errors have now been corrected in the HTML and PDF versions of this paper."}
+{"text": "The article has since been corrected online.In the article \u201cAssociation Between Leptin (-2548G/A) Genes Polymorphism and Breast Cancer Susceptibility: A Meta-Analysis\u201d,"}
+{"text": "The article has since been corrected online.In the article \u201cKeyhole Approach Combined With External Ventricular Drainage for Ruptured, Poor-Grade, Anterior Circulation Cerebral Aneurysms\u201d,"}
+{"text": "In the article titled \u201cCollagen Sponge Functionalized with Chimeric Anti-BMP-2 Monoclonal Antibody Mediates Repair of Critical-Size Mandibular Continuity Defects in a Nonhuman Primate Model\u201d , Dr. Son"}
+{"text": "Scientific Reports 10.1038/s41598-017-09676-2, published online 12 September 2017Correction to: This Article contains errors in Figure 1.\u201cPatient demand Roux-en-Y (n\u2009=\u20096)\u201dshould read:\u201cPatient converted to Roux-en-Y (n\u2009=\u20096)\u201d.In addition,\u201cPatient demand Billroth-I (n\u2009=\u20096)\u201dshould read:\u201cPatient converted to Billroth-I (n\u2009=\u20096)\u201d.The correct Figure"}
+{"text": "Following publication of the original article (Takahashi et al. Following publication of the original article (Takahashi et al. 2 and O2 concentrations in normal and specialised shake-flask culture of E. coli IFO3301. a In the headspace; b in the culture medium. Symbols: circles oxygen; triangles carbon dioxide; closed normal shake-flask culture; open specialised shake-flask culture (with removal of\u2026\u2026\u2026\u2026\u2026..Figure\u00a02 Real-time COHowever, the sentence should read:2 and O2 concentrations in normal and specialised shake-flask culture of E. coli IFO3301. a In the headspace; b in the culture medium. Symbols: triangles oxygen; circles carbon dioxide; closed normal shake-flask culture; open specialised shake-flask culture (with removal of\u2026\u2026\u2026\u2026\u2026..Figure\u00a02 Real-time CO"}
+{"text": "Scientific Reports7:12638; doi:10.1038/s41598-017-12988-y; Article published online 03 October 2017The original HTML version of this Article contained errors in the Results section under subheading \u2018Domain architecture analysis of grape HB proteins\u2019.\u201cWe found that the comment\u2009=\u2009\u201cStyle change has been done. Please check.\u201cVvHB proteins represented 11 of these families\u201d.now reads:\u201cWe found that the VvHB proteins represented 11 of these families\u201d.\u201cThere are two comment\u2009=\u2009\u201cStyle change has been done. Please check.\u201cHB genes encoding HB-PHD proteins in both grape and Arabidopsis\u201d.now reads:\u201cThere are two HB genes encoding HB-PHD proteins in both grape and Arabidopsis\u201d.These errors have now been corrected in the HTML version of the Article; the PDF version was correct from the time of publication."}
+{"text": "The phrase \u201cMhc14 class-2 myosins \u201d appears incorrectly throughout the article. The correct phrase should be, \u201cMhc14 class-2 myosins .\u201d Please see the corrected"}
+{"text": "Scientific Reports7:4510; doi:10.1038/s41598-017-04601-z; Article published online 03 July 2017In the original version of this Article, size-based CTC-isolation is erroneously referred to as \u2018ISET\u2019. \u2018ISET\u2019 is a Trademark of Rarecells. The two incidences of \u2018ISET\u2019 (in the abstract and the \u2018CTC isolation method\u2019 section) have been removed."}
+{"text": "Scientific Reports7: Article number: 4263210.1038/srep42632; published online: 02152017; updated: 03282017in vivo\u201d, where:This Article contains a typographical error in the Results section, under the subheading \u201cTherapeutic efficacy \u201cFor the DOX-platelet treated group, a continuous tumor suppression was observed during the whole experiment \u201d.should read:\u201cFor the DOX-platelet treated group, a continuous tumor suppression was observed during the whole experiment \u201d."}
+{"text": "Scientific Reports6: Article number: 3079210.1038/srep30792; published online: 08032016; updated: 03082018This Article contains typographical errors. In the Results section,UBE3A gene (accession NM_130838)11, and from a normal healthy control person.\u201d\u201cWe reprogrammed primary dermal fibroblasts isolated from a female patient with AS harboring a three-base pair deletion in exon 4 of the should read:UBE3A gene (accession NM_130838)11, and from a normal healthy control person.\u201d\u201cWe reprogrammed primary dermal fibroblasts isolated from a female patient with AS harboring a three-base pair deletion in exon 5 of the In Table S8 of the Supplementary Information file, the sequence of the forward primer \u2018SNHG14_RT17_F\u2019 for \u2018qRT-PCR neuronal differentiation\u2019,\u201ccttgagtattccggaagtaaaagc\u201dshould read:\u201cctcttcttgcagtttacaacgg\u201d"}
+{"text": "Scientific Reports 10.1038/s41598-017-03717-6, published online 14 June 2017Correction to: Ne) FP/HG\u2019. The correct Figure 3 appears below as Figure\u00a0In Figure 3, the title \u2018Effective individuals per unit of productivity (Ne/NPP) FP/HG\u2019 is incorrectly given as \u2018Effective population size (This Article also contains errors in the Results section under subheading \u2018Migration\u2019.Ne in SE Asia Dataset 1\u201d\u201cTo take into account the mentioned hypotheses, we calculated the ratio of should read:Ne /NPP for food producers over foragers in SE Asia Dataset 1\u201d\u201cTo take into account the mentioned hypotheses, we calculated the ratio of"}
+{"text": "In the article titled \u201cThe Efficacy and Safety of Chinese Herbal Decoction in Type 2 Diabetes: A 5-Year Retrospective Study\u201d , there w"}
+{"text": "Lathyrus sativus L.): Genetic Control, Linkage Relationships, and Mapping with Aconitase and S-Nitrosoglutathione Reductase Isozyme Loci\u201d [The Scientific World Journal has retracted the article titled \u201cFlavonoid-Deficient Mutants in Grass Pea (me Loci\u201d . The art"}
+{"text": "Please see the corrected table below.In the article, \u201cRetrospective study of intravascular large B-cell lymphoma cases diagnosed in Quebec: A retrospective study of 29 case reports\u201d,"}
+{"text": "Scientific Reports7:2180; doi:10.1038/s41598-017-02310-1; Article published online 19 May 2017This Article contains typographical errors in the Acknowledgements section.\u201cThis research was supported by the Russian Scientific Foundation under contract \u2116 14-50-00124\u201d.should read:\u201cThis research was supported by the Russian Scien\u0441e Foundation (Project Number 14- 50-00124)\u201d."}
+{"text": "Eucharia A. Onu's name appeared incorrectly as Eucharia U. Onu.In the article, \u201cA rational-emotive stress management intervention for reducing job burnout and dysfunctional distress among special education teachers: An effect study\u201d"}
+{"text": "Scientific Reports7: Article number: 4166210.1038/srep41662; published online: 02062017; updated: 04282017This Article contains typographical errors.\u2018The C-terminal domain adopts an immunoglobulin fold in solution\u2019,In the results section under subheading \u201cA search for structurally similar proteins possessing using the Dali server identified many proteins containing an Ig-like fold, including immunoglobulin receptors, fibroblast growth factor receptors and the T-cell surface glycoprotein CD4.\u201dshould read:\u201cA search for structurally similar proteins using the Dali server identified many proteins containing an Ig-like fold, including immunoglobulin receptors, fibroblast growth factor receptors and the T-cell surface glycoprotein CD4.\u201dl2 column, the second T5\u2206dec value \u20181mM\u2019 should read \u20180.1mM\u2019.In Table 2 in the MgC"}
+{"text": "Hongqi Zhang appeared incorrectly as Qi Hong Zhang.In the article, \u201cA medium-term follow-up of adult lumbar tuberculosis treating with 3 surgical approaches\u201d,"}
+{"text": "Scientific Reports7: Article number: 42460; 10.1038/srep42460 published online: 03092017; updated: 02122018.The Acknowledgements section in this Article is incomplete:\u201cThis work was supported by the European Union FP7 projects MODERN , MARINA , and SUN , by FEDER funding through COMPETE and Portugal funding through FCT (Funda\u00e7\u00e3o para a Ci\u00eancia e Tecnologia) within the project bio-CHIP , and by a post-doctoral grant \u201dshould read:\u201cThis work was supported by the European Union FP7 projects MODERN , MARINA , and SUN , by FEDER funding through COMPETE and Portugal funding through FCT (Funda\u00e7\u00e3o para a Ci\u00eancia e Tecnologia) within the project bio-CHIP , and by a post-doctoral grant . Financial support was also received from CESAM (UID/AMB/50017 - POCI-01-0145-FEDER-007638), FCT/MCTES through national funds (PIDDAC), and the co-funding by the FEDER, within the PT2020 Partnership Agreement and Compete 2020.\u201d"}
+{"text": "Page 6 of the PDF, third full paragraph, line 4: \u201csmallpox\u201d should be \u201chorsepox.\u201d The corrected sentence should read \u201cGiven much of this information already exists in the literature, the publication of the horsepox experiments may only provide additional instructive capability to experienced actors.\u201dVolume 3, no. 2, e00074-18, 2018,"}
+{"text": "In the Discussion section, the phrase \u201cGram-negative\u201d appears incorrectly. For all instances within the Discussion section, the correct phrase is \u201cGram-positive.\u201d"}
+{"text": "Scientific Reports 10.1038/s41598-017-09064-w, published online 21 August 2017Correction to: This Article contains a typographical error.In the Methods section under subheading \u2018TGIRT-seq of E. coli genomic DNA\u2019,\u201c\u201dshould read:\u201c\u201d"}
+{"text": "In the report \u201cUpdate: Dura Mater Graft\u2013Associated Creutzfeldt-Jakob Disease \u2014 Japan, 1975\u20132017,\u201d on page 276, an error occurred in"}
+{"text": "Scientific Reports 10.1038/s41598-017-15257-0, published online 13 November 2017Correction to: This Article contains typographical errors in the Acknowledgements section.\u201cand the Spanish Society for the Research of Individual Differences (SEIDI), grant FIS2016-76163-R (FJA & JMB)\u201dshould read:\u201cand the Secretar\u00eda de Estado de Investigaci\u00f3n, Desarrollo e Innovaci\u00f3n (SEIDI), Spain, grant FIS2016-76163-R (JMB & FJA)\u201d"}
+{"text": "Scientific Reports 10.1038/s41598-017-00825-1, published online 19 April 2017Correction to: This Article contains a typographical error. In the Results section under subheading \u2018Analytical Model, Piecewise Linear System Dynamics and connection to Spectral Algorithms\u2019,v is normalized to vdd then p(s)\u2009=\u2009s.\u201d\u201cIf the voltage should read:v is normalized to vdd then p(s)\u2009=\u2009gms.\u201d\u201cIf the voltage gis should be gms.In addition, all instances of"}
+{"text": "Scientific Reports6: Article number: 3942610.1038/srep39426; published online: 11202016; updated: 03162017This Article contains errors in Table 3. In the \u201cB-lines \u226515\u201d column, the Timing of B-line quantification values using univariable analysis for \u201cEarly during hospital stay\u201d and \u201cAt discharge\u201d are inverted. The correct"}
+{"text": "In the article titled \u201cResveratrol-Enriched Rice Attenuates UVB-ROS-Induced Skin Aging via Downregulation of Inflammatory Cascades\u201d , the aff"}
+{"text": "Scientific Reports 10.1038/s41598-017-14260-9, published online 24 October 2017Correction to: This Article contains errors in Table 1, where incorrect values for \u2018Fasting plasma glucose (mg/dL)\u2019 and \u2018L/S ratio\u2019 are given. The correct Table\u00a0In addition, this Article contains a typographical error in the Methods section, under the subheading \u2018Statistical analysis\u2019 where,\u201cBonferroni connection\u201dshould read:\u201cBonferroni correction\u201d"}
+{"text": "Bruno Fantin's name appeared incorrectly as Fantin Bruno.In the article, \u201cCandida vertebral osteomyelitis (CVO) 28 cases from a 10-year retrospective study in France\u201d,"}
+{"text": "Scientific Reports7:2465; doi:10.1038/s41598-017-02496-4; Article published online 26 May 2017+/K+-ATPase inhibition-independent proarrhythmic ionic mechanisms of cardiac glycosides\u201d.The original version of this Article contained errors in the title.\u00a0\u201cElectronic supplementary materialIdentification of a Nanow reads:+/K+-ATPase inhibition-independent proarrhythmic ionic mechanisms of cardiac glycosides\u201d. These errors have now been corrected in the PDF and HTML versions of the Article.\u201cIdentification of Na"}
+{"text": "Klebsiella pneumoniae Compared to Nonproducing Isolates\u201d [In the Results section, \u201ca total of twenty-four different virulence profiles were observed among the tested isolates,\u201d should be \u201ca total of twenty-three different virulence profiles were observed among the tested isolates.\u201dIn the Discussion section, \u201canalysis of virulence factors combination has brought out 23 different virulence profiles including 2 to 8 virulence factors (Table 4),\u201d should be \u201canalysis of virulence factors combination has brought out 23 different virulence profiles including 2 to 9 virulence factors (Table 4).\u201d\u03b1-hemolysis-BssS-fimH-iss\u201d should be corrected to \u201cBiofilm-serum resistant-haemagglutination-hypermucoviscosity-lipase-\u03b1-hemolysis-BssS-fimH-iss.\u201d The correct table is shown as follows:In the eighteenth row of Table 4, \u201cBiofilm-serum resistant-haemagglutination-lipase-In the article titled \u201cAssociation between Virulence Factors and Extended Spectrum Beta-Lactamase Producingsolates\u201d , there w"}
+{"text": "In the article titled \u201cTopical Colchicine Gel versus Diclofenac Sodium Gel for the Treatment of Actinic Keratoses: A Randomized, Double-Blind Study\u201d , Dr. Fat"}
+{"text": "Nature Communications8:575 doi:10.1038/s41467-017-00474-y; Article published online: 18 September 2017n-hexane as the infused liquid.In Table 1 of this Article, the third row in the furthest right column contains a typographical error and should read \u2018NH\u2019, rather than \u2018NM\u2019, corresponding to"}
+{"text": "Scientific Reports 10.1038/s41598-017-02052-0, published online 12 May 2017Correction to: The Acknowledgements section in this Article is incomplete.http://www.3srbreeding.eu/). The authors thank all the partners involved. The authors also thank C\u00e9cile Albenne for her precious help in enzymology, St\u00e9phane Fabre, Marc Teisser and Julie Demars for their involvement and help with softwares and molecular part, and Aur\u00e9lie Tircazes for her help with genotype calling. Lipidomic analyses were performed on the Toulouse MetaToul-Lipidomique Core Facility , MetaboHUB-ANR-11-INBS-0010.\u201d.\u201cThe authors thank Pierre Martin and all the Capgenes breeding organizations for providing the data and their helpful contributions. This work was supported by grants from French organizations through \u201cPh\u00e9noFinlait\u201d , CAPGENES and FCEL) and EC (FP7/2007\u20132013), grant no. 245140, \u201c3SR\u201d, Sustainable Solutions for Small Ruminants (should read:http://www.3srbreeding.eu/). The authors thank all the partners involved. The authors also thank C\u00e9cile Albenne for her precious help in enzymology, St\u00e9phane Fabre, Marc Teisser and Julie Demars for their involvement and help with softwares and molecular part, and Aur\u00e9lie Tircazes for her help with genotype calling. Lipidomic analyses were performed on the Toulouse MetaToul-Lipidomique Core Facility , MetaboHUB-ANR-11-INBS-0010. Pauline Martin received a doctoral research grant from \u201cR\u00e9gion Midi-Pyr\u00e9n\u00e9es\u201d, Animal Genetics Department from INRA and GENOMCAP research programm including INRA, APIS-GENE, ALLICE (formerly UNCEIA), CAPGENES and FCEL). Cyrielle Maroteau received a CIFRE grant from ALLICE\u201d.\u201cThe authors thank Pierre Martin and all the Capgenes breeding organizations for providing the data and their helpful contributions. This work was supported by grants from French organizations through \u201cPh\u00e9noFinlait\u201d , CAPGENES and FCEL) and EC (FP7/2007\u20132013), grant no. 245140, \u201c3SR\u201d, Sustainable Solutions for Small Ruminants ("}
+{"text": "Scientific Reports 10.1038/s41598-018-20914-z, published online 09 February 2018Correction to: The original version of this Article contained typographical errors.In the Results section, the subheading,\u201cTropism of CD42b, CD41a and CD41a in dengue virus by two-dimensional analysis\u201dnow reads:\u201cTropism of CD42b, CD41 and CD41a in dengue virus by two-dimensional analysis\u201dIn the Results section, under the subheading \u2018Tropism of CD42b, CD41 and CD41a in dengue virus by two-dimensional analysis\u2019,\u201cThe stained cells were demonstrated under the fluorescence microscope herein to confirm that our immunostaining method detected platelet receptors superficially and DENV intracellularly .\u201dnow reads:22 .\u201d\u201cThe stained cells were demonstrated under the fluorescence microscope herein to confirm that our immunostaining method detected platelet receptors superficially and DENV intracellularlyIn the Results section, under the subheading \u2018Requirement of CD42b in dengue virus infection by three-dimensional analysis\u2019,\u201cWe further hypothesized that CD42b alone was a key requirement for DENV infection because we could not associate intracellular DENV+\u2009cells with CD42b\u2212 cells .\u201dnow reads:\u201cWe further hypothesized that CD42b alone was a key requirement for DENV infection because we could not associate intracellular DENV+\u2009cells with CD42b\u2212 cells .\u201dIn the Results section, under the subheading \u2018Dependence of dengue virus infection on CD42b by single-cell virus-protein analysis\u2019,p\u2009=\u200910\u22123, n\u2009=\u20092118).\u201d\u201c.\u201d\u201c(Fig. 4E; Additionally, this Article contained a typographical error in the Acknowledgements section.\u201cPatchanat Klaihmon\u201dnow reads:\u201cPhatchanat Klaihmon\u201dThese errors have now been corrected in the PDF and HTML versions of the Article."}
+{"text": "Scientific Reports 10.1038/s41598-017-02278-y, published online 19 May 2017Correction to: -1 soil)\u2019 is incorrectly labelled as \u2018DOC (mg g\u22121 soil)\u2019. The correct Figure 3 appears below as Figure\u00a0This Article contains an error in Figure 3, where the y-axis \u2018DOC \u03bcg g- soil\u2019 is"}
+{"text": "Page\u00a02: Lines\u00a011\u201314 should read as follows: \u201c\u2026Unlike the genomes of other gammaproteobacterial methanotrophs, the USC\u03b3 draft genome contains nearly all essential genes for a complete serine biosynthesis pathway for formaldehyde assimilation. However, the enzymes unique to the typical RUMP pathway, hexulose-6-phosphate synthase and hexulose phosphate isomerase, were not detected\u2026.\u201dVolume 5, no. 17, e00047-17, 2017,"}
+{"text": "Scientific Reports6: Article number: 2816610.1038/srep28166; published online: 06212016; updated: 05172018This Article contains errors in the Results section under the subheading \u2018Development of a pH-stable GFP variant for use as biomarker\u2019,\u201cTo create a monomeric GFP variant, we created a construct comprised of two sfGFP-N149Y/Q204H separated by a flexible 25 amino acid linker, termed pH-stable tandem dimer GFP (pH-tdGFP).\u201dshould read:\u201cTo create a monomeric GFP variant, we created a construct comprised of two sfGFP-N149Y/Q204H separated by a flexible 22 amino acid linker, termed pH-stable tandem dimer GFP (pH-tdGFP).\u201dAdditionally, in the Materials and Methods section under the subheading \u2018Purification of GFP variants\u2019,\u201cpH-tdGFP is a tandem fusion of two yeast codon optimized sfGFP-N149Y/Q204H separated by the amino acid linker ITLGGTGSGSGDEVDGMVSKGEEVIK.\u201dshould read:\u201cpH-tdGFP is a tandem fusion of two yeast codon optimized sfGFP-N149Y/Q204H separated by the amino acid linker HGTGSTGSGSSGTASSEDNNMA.\u201d"}
+{"text": "Scientific Reports6: Article number: 3049110.1038/srep30491; published online: 07262016; updated: 09022016This Article contains errors in Figure 3a and 3d where the y axes \u2018y (\u03bcm)\u2019 is incorrectly given as \u2018y (mm)\u2019. The correct Figure 3 appears below as"}
+{"text": "Cordyceps militaris in High-Fat Diet-Induced Type 2 Diabetes Mellitus Mice\u201d [In the article titled \u201cHypoglycemic Activity through a Novel Combination of Fruiting Body and Mycelia of us Mice\u201d , there w"}
+{"text": "Scientific Reports6: Article number: 3168610.1038/srep31686; published online: 08232016; updated: 11102016.This Article contains typographical errors. In the legend of Figure 6, the descriptions corresponding to Figures 6c and 6d have been mislabelled \u2018(D)\u2019 and \u2018(E)\u2019 respectively. In the Results section,\u201cIn total, 1,998 genes were differentially expressed by more than eight-fold (<\u22128 or >8) under salinity stress,\u201dshould read:\u201cIn total, 1,198 genes were differentially expressed by more than eight-fold (<\u22128 or >8) under salinity stress,\u201d"}
+{"text": "The original publication containsThe sentence should be: \u201cThese specific characteristics may significantly contribute to the psychosocial impairment and altered quality of life of these subjects.\u201dThe correct table legend can be found below: \u201cDASS Depression Anxiety Stress Scale, N/A not applicable, NRS numeric rating scale, SD standard deviation. + Mann\u2013Whitney-U-test; * chi square test\u201d."}
+{"text": "Scientific Reports7: Article number: 46025; 10.1038/srep46025 published online: 04062017; updated: 07272017.The original version of this Article contained errors. In the Abstract,\u201cThe patients in the community-acquired SBP (n\u2009=\u2009311) and the nosocomial SBP (n\u2009=\u2009264) groups exhibited significant differences in clinical symptoms (P\u2009<\u20090.01)\u201d.now reads:\u201cThe patients in the community-acquired SBP (n\u2009=\u2009264) and the nosocomial SBP (n\u2009=\u2009311) groups exhibited significant differences in clinical symptoms (P\u2009<\u20090.01)\u201d.In the Results section, under subheading \u2018Basic patient information\u2019,\u201cPatients were divided into either nosocomial (n\u2009=\u2009264) or community-acquired groups (n\u2009=\u2009311) according to the type of infection\u201d.now reads:\u201cPatients were divided into either nosocomial (n\u2009=\u2009311) or community-acquired groups (n\u2009=\u2009264) according to the type of infection\u201d.As a result, the values of the columns \u2018Community-acquired \u2019 and \u2018Nosocomial \u2019 in These errors have now been corrected in the PDF and HTML versions of the Article."}
+{"text": "Erratum to:npj Schizophrenia (2017); doi:10.1038/s41537-017-0023-7; Published 11 May 2017The Competing interests section states, \u201cThe authors declare competing financial interests.\u201d However, it should be, \u201cThe authors declare no competing financial interests.\u201d These errors have now been corrected in the HTML and PDF versions of this article."}
+{"text": "To compare the incidence of toxicity of 8 different chemotherapy regimens, including doxorubicin + paclitaxel, doxorubicin, capecitabine, CMF (cyclophosphamide + methotrexate + 5-fluorouracil), FAC (fluorouracil + doxorubicin + cyclophosphamide), doxorubicin + docetaxel, doxorubicin + cyclophosphamide and paclitaxel in the treatment of metastatic/advanced breast cancer.This network meta-analysis included 8 randomized controlled trials (RCTs). The findings revealed that, with regard to capecitabine alone regimen exhibited higher incidence of nausea/vomiting than doxorubicin + paclitaxel regimen, doxorubicin alone regimen and paclitaxel alone regimen in the treatment of patients with metastatic/advanced breast cancer . Furthermore, doxorubicin + cyclophosphamide regimen had lower incidence of febrile neutropenia than doxorubicin + docetaxel . No significant difference in the incidence of stomatitis was observed among eight chemotherapy regimens.We initially searched PubMed, Cochrane Library and Embase databases from the founding of these databases to January 2016. Eligible studies investigating the 8 different chemotherapy regimens for treatment of metastatic/advanced breast cancer were included for direct and indirect comparison. The odds ratio (OR) and surface under the cumulative ranking curves (SUCRA) value of the incidence of toxicity among eight chemotherapy regimens were analyzed.Capecitabine alone regimen and doxorubicin + docetaxel regimen may have a more frequent toxicity in the treatment of metastatic/advanced breast cancer. Breast cancer, one of the most common malignancies worldwide, comprises 3% of all cancers in women worldwide . Approxiin vivo screens in laboratory mice implanted tumors and also found to possess cytotoxic activity in clinical application OR breast cancer[tiab] OR Neoplasm, Breast[tiab] OR Tumors, Breast OR Mammary Neoplasms, Human[tiab] OR Human Mammary Neoplasm[tiab] OR Mammary Carcinoma, Human[tiab] OR Carcinomas, Human Mammary[tiab] OR Mammary Carcinomas, Human[tiab] OR Mammary Cancer[tiab] OR Cancer of Breast[tiab]#2: chemotherapy[tiab] OR \u201cCyclophosphamide\u201d [mh] OR \u201cDoxorubicin\u201d[mh] OR Farmiblastina[tiab] OR \u201cPaclitaxel\u201d[mh] OR \u201cDocetaxel\u201d[mh] OR \u201cCapecitabine\u201d [mh] OR \u201cgemcitabine\u201d [mh] OR \u201cEpothilone\u201d[mh] OR \u201cvinorelbine\u201d[Supplementary Concept] OR \u201cDDP\u201d [Supplementary Concept] OR \u201cCarboplatin\u201d [Supplementary Concept] OR \u201coxaliplatin\u201d[Supplementary Concept] OR \u201cPirarubicin\u201d[Supplementary Concept] OR \u201cEpirubicin\u201d[mh]#3: \u201crandomized controlled trial\u201d[pt] OR \u201ccontrolled clinical trial\u201d[pt] OR \u201crandomized controlled trials as topic\u201d[Mesh] OR \u201cclinical trials as topic\u201d[mh] OR \u201ccontrolled clinical trials as topic\u201d[mh] OR placebos[mh] OR \u201crandom allocation\u201d[mh] OR \u201cdouble-blind method\u201d[mh] OR randomized[tiab] OR placebo[tiab] OR randomization[tiab] OR randomly allocated[tiab] OR ((double[tw] OR treble[tw] OR triple[tw]) AND (mask* [tw] OR blind* [tw]))#4: #1 and #2 and #3The inclusion criteria: (1) study type: RCT; (2) interventions: doxorubicin + paclitaxel, doxorubicin, capecitabine, CMF (cyclophosphamide + methotrexate + fluorouraci), FAC (fluorouracil + doxorubicin + cyclophosphamide), doxorubicin + docetaxel, doxorubicin + cyclophosphamide, and paclitaxel; (3) chemotherapy: first-line therapy; (4) disease stage: stage III or IV; (5) patient population: hospital-based patient; (6) subjects: at least one measurable lesion in patients with metastatic/advanced breast cancer according to the Response Evaluation Criteria in Solid Tumors (RECIST) ; (7) outTwo reviewers abstracted the data independently with the unified data collection form, and disagreements were resolved by discussion with a number of investigators. The trial size, trial design, details of intervention including treatment duration, patient characteristics such as sex, age, mean duration of follow-up time as well as outcome data were extracted. For crossover trials, the data was extracted from the first period only in order to avoid possible carryover effects. The means and measures of dispersion were approximated from figures in the reports as previously described whenever necessary. Whenever possible, we extracted results from the intention-to-treat analyses. More than 2 reviewers evaluated the quality of RCT with a modified Cochrane risk of bias assessment tool , which iP value was higher than 0.05, the consistency model was used to analyze the results [Firstly, pairwise meta-analyses of direct evidence were conducted by the fixed-effects model, with R version 3.2.1 and the meta-package. We also calculated the pooled results of odd ratios (OR) with 95% credible intervals (CrIs) of three end point outcomes. Chi-square test and I-square test were carried out for testing heterogeneity among the studies . Then, R results . In orde results , 56. R 3"}
+{"text": "Atherosclerosis is an inflammatory process that develops in individuals with known risk factors that include hypertension and hyperlipidaemia, influenced by diet. However, the interplay between diet, inflammatory mechanisms and vascular risk factors requires further research. We hypothesised that interleukin-1 (IL-1) signaling in the vessel wall would raise arterial blood pressure and promote atheroma.\u2212/\u2212Apoe and \u2212/\u2212/IL-1R1\u2212/\u2212Apoe mice were fed high fat diets for 8 weeks, and their blood pressure and atherosclerosis development measured. \u2212/\u2212/IL-R1\u2212/\u2212Apoe mice had a reduced blood pressure and significantly less atheroma than \u2212/\u2212Apoe mice. Selective loss of IL-1 signaling in the vessel wall by bone marrow transplantation also reduced plaque burden (p<0.05). This was associated with an IL-1 mediated loss of endothelium-dependent relaxation and an increase in vessel wall Nox 4. Inhibition of IL-1 restored endothelium-dependent vasodilatation and reduced levels of arterial oxidative stress.The IL-1 cytokine system links atherogenic environmental stimuli with arterial inflammation, oxidative stress, increased blood pressure and atherosclerosis. This is the first demonstration that inhibition of a single cytokine can block the rise in blood pressure in response to an environmental stimulus. IL-1 inhibition may have profound beneficial effects on atherogenesis in man. Drugs to decrease plasma lipid levels and blood pressure are the basis of the medical treatment strategy for cardiovascular disease. Dietary modification of macronutrient and salt intakes has also been studied with some large effects upon systolic blood pressure in particular In the arterial wall, IL-1 is secreted primarily by monocytes and macrophages but also by endothelial and smooth muscle cells IL-1 is a powerful inflammatory stimulus to endothelial and vascular smooth muscle cells with effects that are plausibly linked with known mechanisms of atherogenesis \u2212/\u2212Apoe mice fed atherogenic diets. We also show a link between fat feeding and blood pressure that is mediated via IL-1 through modulation of the NADPH-oxidase subunit 4 (Nox 4).We report here the cardiovascular effects of abolishing IL-1 signaling either by genetic deletion of IL-1R1 or by administration of IL-1ra in proatherogenic More detailed methods can be found in the online supplemental material .\u2212/\u2212/IL-R1\u2212/\u2212Apoe mice were generated at JAX labs by cross breeding of \u2212/\u2212Apoe (JAX 2052) with \u2212/\u2212IL-R1 (JAX 3245) mice. All mice were on a C57BL/6 background. Male mice, 8 weeks of age, (12 per group) were fed normal chow , Western diet or Western High Cholate (WHC or Paigen) diet for 8 weeks. No differences in body weights between the strains were observed either with or without fat feeding. Diets were supplied by Special Diet Services, UK. All animal experiments were approved by the University of Sheffield Project Review Committee and conformed to UK Home Office ethical guidelines.Histologically stained paraffin wax embedded sections were analysed as previously described Systolic and diastolic blood pressures of mice were measured using a Visitech tail-cuff system and mean blood pressure calculated was used to determine arteriolar myogenic reactivity and responsiveness to nitric oxide, as previously described Irradiation and bone marrow transplantation of mice was performed as previously described in-situSuperoxide production in mouse aortic tissue sections was detected 2, annealing at 60\u00b0C and extension at 72\u00b0C. Primer sequences were as described in Quantification of Nox 2 and Nox 4 was performed by amplification of artery cDNA using a MX3000P instrument (Stratagene) with SYBR green dye, and normalization to 18S rRNA. For cultured cells, normalization was to \u03b2-actin. Optimized amplification conditions were 150 mmol/L primers, 2.5 mmol/L MgCl2, Emax, L-NAME effects and wall: lumen ratios were compared by t-tests. Data are presented as mean\u00b1SEM. p<0.05 was regarded as a significant difference.Data groups were analyzed by t-test or one-way ANOVA followed by a Bonferroni multiple comparison post-test, as appropriate. Blood pressure measurements were analyzed by global non-linear regression, followed by an F-test. Vessel diameters were analyzed by two-way repeated-measures ANOVA. pDFurther results can be found in the online supplementary text .\u2212/\u2212Apoe mice fed high fat diets displayed significant increases in atherosclerotic lesion area compared to mice fed chow, with the Western diet with high cholate (WHC) causing the a greatest increase , or Western diet (p\u200a=\u200a0.4). However, when fed the WHC diet, \u2212/\u2212/IL-R1\u2212/\u2212Apoe mice developed a 36% smaller atherosclerotic lesion in the aortic sinus compared to \u2212/\u2212Apoe mice (p<0.001) . Represep<0.001) . Body we\u2212/\u2212Apoe and \u2212/\u2212/IL-R1\u2212/\u2212Apoe chimeric mice were used to determine the relative contribution of IL-1 signaling in cells derived from the bone marrow and non-bone marrow (tissue cells) upon the development of atherosclerosis following fat feeding. Irradiated \u2212/\u2212Apoe mice receiving \u2212/\u2212Apoe bone marrow had large, and \u2212/\u2212/IL-R1\u2212/\u2212Apoe mice receiving \u2212/\u2212/IL-R1\u2212/\u2212Apoe marrow relatively little, atherosclerosis in their aortic sinus following 8 weeks on a WHC diet, as expected and analogous to \u2212/\u2212Apoe and \u2212/\u2212/IL-R1\u2212/\u2212Apoe non-chimeric animals.\u2212/\u2212Apoe animals receiving \u2212/\u2212/IL-R1\u2212/\u2212Apoe bone marrow did not develop a lesion that was significantly different from \u2212/Apoe mice receiving \u2212/\u2212Apoe marrow developed a 1.9-fold smaller lesion than the \u2212/\u2212Apoe to \u2212/\u2212Apoe controls (p<0.05). The lesion size between \u2212/\u2212/IL-R1\u2212/\u2212Apoe into \u2212/\u2212Apoe and \u2212/\u2212Apoe into \u2212/\u2212/IL-R1\u2212/\u2212Apoe mice also differed significantly (p<0.05) .Pathological analysis, by chromosome painting, of these animals showed all had engrafted donor marrow .\u2212/\u2212/IL-R1\u2212/\u2212Apoe mice fed the Western, WHC or chow diet (There was no difference in mean blood pressure in how diet . However or chow).\u2212/\u2212/IL-R1\u2212/\u2212Apoe or \u2212/\u2212Apoe fed a normal chow diet over an 8-week period (p\u200a=\u200ans)(\u2212/\u2212/IL-R1\u2212/\u2212Apoe mice fed either the Western or WHC diet had a significantly lower blood pressure (a level comparable to \u2212/\u2212Apoe mice on chow diet) than the \u2212/\u2212Apoe mice fed the equivalent diet . However\u2212/\u2212Apoe mice on WHC diets infused with IL-1ra using an osmotic pump also had a significantly lower blood pressure than \u2212/\u2212Apoe mice given placebo ( placebo . Elevati\u2212/\u2212Apoe and \u2212/\u2212/IL-R1\u2212/\u2212Apoe mice fed Western and WHC diets did not differ in their sensitivity to phenylephrine (PE) (\u2212/\u2212/IL-R1\u2212/\u2212Apoe mice fed these diets displayed significantly greater vasodilator sensitivity to acetyl choline (ACh) . In \u2212/\u2212/IL-R1\u2212/\u2212Apoe mice fed WHC diet there was greater constriction (19.1+/\u22121.3%) compared to \u2212/\u2212Apoe (8.6+/\u22122.7%) following incubation with N(G)-nitro-L-arginine methyl ester (L-NAME) (p\u200a=\u200a0.003), without a significant difference between pD2 (Mesenteric arteries from ine (PE) . However p<0.05; comparedesponse) .\u2212/\u2212Apoe and \u2212/\u2212/IL-R1\u2212/\u2212Apoe mice demonstrated similar internal luminal diameters of small mesenteric arteries increased in response to increasing intraluminal pressure (active response), with \u2212/\u2212Apoe mice fed either diet showing a trend towards a reduced myogenic response (\u2212/\u2212/IL-R1\u2212/\u2212Apoe mice fed WHC diet demonstrated a greater active pressure-diameter response compared to chow fed \u2212/\u2212Apoe mice (Both response . However\u2212/\u2212 mice .h/R) \u2212/\u2212/IL-R1\u2212/\u2212Apoe vs 0.111+/\u22120.011 \u2212/\u2212Apoe, n\u200a=\u200a6). Endothelium-independent relaxation responses, assessed by superfusion of sodium nitroprusside (SNP), also did not differ (\u2212/\u2212/IL-R1\u2212/\u2212Apoe mice fed a WHC diet compared with \u2212/\u2212Apoe mice (p\u200a=\u200ans) .NO bioactivity was increased in p<0.05) . Activit(p\u200a=\u200ans) . QualitaWHC diet . Quantit, p<0.05). ROS pro, p<0.05). Generat, p<0.05). Apoe\u2212/\u2212\u2212/\u2212/IL-R1\u2212/\u2212Apoe mice fed the WHC diet compared to \u2212/\u2212Apoe mice , \u2212/\u2212Apoe mice develop aortic atheroma \u2212/\u2212Apoe mice fed high fat diets.The Apoe and IL-1 receptor 1 (IL-1R1) genes. As expected, aortic atheroma was significantly reduced in \u2212/\u2212/IL-R1\u2212/\u2212Apoe mice fed WHC compared with \u2212/\u2212Apoe controls. This is in agreement with previous studies that showed decreased atherosclerosis in IL-1\u03b2\u2212/\u2212 and IL-1\u03b1\u2212/\u2212 mice fed a high cholate diet \u2212/\u2212Apoe model \u2212/\u2212/IL-1R1\u2212/\u2212Apoe mice showed no difference in blood pressure if given IL-1ra (data not shown), suggesting that IL-1ra does not act as a non-specific vasodilator.\u2212/\u2212/IL-R1\u2212/\u2212Apoe mice we investigated active arteriolar pressure-diameter responses and basal and agonist-induced NO production in \u2212/\u2212Apoe and \u2212/\u2212/IL-R1\u2212/\u2212Apoe fat-fed mice. The greater vessel diameter in response to increasing pressure in vessels from \u2212/\u2212/ILR1\u2212/\u2212Apoe, together with no observed difference in sensitivity to PE between groups or in vascular smooth muscle constriction for the given degree of muscle shortening , as well as the preserved response to SNP, all suggest a specific endothelial response.To study the mechanism of the attenuation of the blood pressure rise in the \u2212/\u2212/IL-1R1\u2212/\u2212Apoe mice compared to \u2212/\u2212Apoe in both diet groups as well as the greater contraction in response to L-NAME in the fat-fed \u2212/\u2212/IL-1R1\u2212/\u2212Apoe mice indicate a fundamental increase in bioavailable vessel wall nitric oxide as a result of selective loss of IL-1 signaling. This is emphasised by the observed increase in basal cGMP production seen in these mice. The activity of eNOS, in the presence or absence of eNOS co-factors, did not differ between the two mouse strains suggesting that the difference in bioavailable NO attributable to selective IL-1 inhibition is mediated by increased consumption of NO via increased arterial oxidative stress.The strikingly preserved agonist-induced NO dependent vasodilatation of resistance vessels from Apoe\u2212/\u2212 mouse attenuated by abolition of IL-1 signaling. Taken together, these results suggest a central role for IL-1 in modulating the blood pressure response to high lipids and that this is via a selective reduction in bioavailable nitric oxide.In support of these data, there was consistent reduction of arterial ROS levels in mice unable to signal via IL-1. Investigation of Nox isoforms, known to regulate NADPH activity et al. who showed reduced atherosclerosis in wild type, WHC-fed mice reconstituted with either IL-1\u03b2\u2212/\u2212 or IL-1\u03b1\u2212/\u2212 bone marrow The chimeric mouse experiments were conducted to examine the compartment in which IL-1 signaling was important. Only in chimeras where tissue cells were unable to signal via IL-1 was a there a decrease in atherosclerotic lesion size. These data complement a recent study by Kamari \u2212/\u2212Apoe and \u2212/\u2212/IL-1R1\u2212/\u2212Apoe strains on high fat diets. The myography experiments also suggest a selective endothelial loss of function. Thus, the data presented here add to the hypothesis that IL-1 signaling within the blood vessel wall cells is the mechanism involved in the blood pressure and atherogenic responses to fat feeding in \u2212/\u2212Apoe mice.We also demonstrate that vessel wall ROS production and Nox 4 levels are altered between the non-chimeric Our studies examined the effects of two different pro-atherogenic diets, administered for 8 weeks. Of these diets, the WHC diet is known to be the most aggressive, giving a chronic inflammatory response compared to the acute response of a standard Western (high cholesterol/low cholate) diet The WHC diet can cause intense metabolic disruption, hepatic dysfunction and inflammatory activation. We did not see these effects. Additionally, we saw similar index data (e.g. blood pressure and atheroma formation) for mice fed on the Western and the WHC diet, though the magnitude of the blood pressure effects was reduced with the Western diet. We feel, therefore, that where we have used the WHC diet for further detailed experimentation that this is justified and that the results derived are the result of elevation in cholesterol: the Western diet giving intermediate cholesterol levels and intermediate phenotype, and the WHC diet giving rise to high cholesterol and an advanced phenotype.There is considerable interest in harnessing knowledge of basic inflammatory mechanisms of atherogenesis for therapeutic benefit. We show that dietary manipulation in a murine model of atherosclerosis is associated with a rise in blood pressure, an effect attenuated by selective inhibition of a single cytokine. High fat diets may be particularly linked with elevation in blood pressure \u2212/\u2212Apoe mice, development of atheroma is not driven directly by the rise in blood pressure In our experiments, there was a concomitant reduction in blood pressure and atheroma development. In fat-fed These data raise the possibility of an entirely novel strategy for prevention of atherosclerosis. An anti-IL-1 based approach would be expected to have a beneficial effect upon atherogenic mechanisms at multiple levels. Indeed, very recent data have indicated a beneficial effect of IL-1ra upon patients with type II diabetes Text S1Expanded methods.(0.04 MB DOC)Click here for additional data file.Results S1Additional data(0.04 MB DOC)Click here for additional data file.Figure S1\u2212/\u2212 mice fed chow, Western, and WHC compared with ApoE\u2212/\u2212/IL-1R1\u2212/\u2212 mice. Original magnification\u00d72.Microscopic appearances around the aortic sinus of ApoE(1.18 MB TIF)Click here for additional data file.Figure S2\u2212/\u2212 mice on both high fat diets, an increase that was significantly reduced in the Apoe\u2212/\u2212/IL-R1\u2212/\u2212 mice on equivalent diets. (n\u200a=\u200a9\u201320)Modulation of IL-1 signaling decreases acute phase reactant serum amyloid A (SAA) levels. SAA was elevated in Apoe(4.80 MB TIF)Click here for additional data file.Figure S3Chromosome painting of bone-marrow transplanted mice. No Y-chromosomes were seen in male mice transplanted with female bone marrow, confirming engraftment was successful. Male recipients of male bone marrow all have Y-chromosomes, as expected, as a positive control for this method.(2.45 MB TIF)Click here for additional data file.Figure S4\u2212/\u2212 and Apoe\u2212/\u2212/IL-R1\u2212/\u2212 mice. Intraluminal arteriolar diameter in response to increasing pressure (0\u2013120 mmHg). *P<0.05 Apoe\u2212/\u2212/IL-R1\u2212/\u2212 (n\u200a=\u200a6) and **P<0.05 Apoe\u2212/\u2212 WHC (n\u200a=\u200a6) versus Apoe\u2212/\u2212 chow (n\u200a=\u200a4).Vascular reactivity of arterioles from Apoe(0.61 MB TIF)Click here for additional data file.Figure S5\u2212/\u2212 mice (n\u200a=\u200a6) (a) and human coronary endothelial cells (hCAEC) (n\u200a=\u200a6) (b). However, no increase in ROS are seen in ECs isolated from Apoe\u2212/\u2212/IL-1R1\u2212/\u2212 mice (n\u200a=\u200a6) (a). Nox 4 mRNA expression is increased in hCAEC stimulated with IL-1\u03b2 (n\u200a=\u200a5) (c).ROS and Nox 4 expression in endothelial cells in culture. Increased ROS are seen following IL-1\u03b2 stimulation of endothelial cells isolated from Apoe(9.90 MB TIF)Click here for additional data file.Figure S6ROS and Nox 4 expression in vascular smooth muscle cells in culture. No significant difference in ROS are seen following IL-1\u03b2 stimulation of VSMCs (n\u200a=\u200a6) (a). Nox 4 mRNA expression is decreased in VSMC stimulated with IL-1\u03b2 (n\u200a=\u200a1) (b).(0.30 MB TIF)Click here for additional data file.Figure S7\u2212/\u2212 mice following feeding of a high fat diet. Mice fed WHC had significantly more ROS than those fed chow alone, with Western diet giving intermediate levels of ROS. (n\u200a=\u200a9).ROS generation in Apoe(2.79 MB TIF)Click here for additional data file.Table S1\u2212/\u2212/IL-1R1\u2212/\u2212 and ApoE\u2212/\u2212 mice fed chow, Western High Cholate (WHC), and Western diets. Data represents mean+/\u2212SEM.Lipid, glucose and ALT levels in ApoE(0.05 MB DOC)Click here for additional data file.Table S2\u2212/\u2212/IL-1R1\u2212/\u2212 and ApoE\u2212/\u2212 mice fed chow, Western high cholate (WHC), and Western diets, determined by ELISA. Data represents mean+/\u2212SEM.Plasma levels of IL-1ra, IL-1\u03b2, IL-1\u03b1 and IL-6 in ApoE(0.04 MB DOC)Click here for additional data file.Table S3\u2212/\u2212/IL1R1\u2212/\u2212 and Apoe\u2212/\u2212 mice fed a Western high cholate (WHC), Western, or Apoe\u2212/\u2212 mice fed chow diet, assessed by pD2 and Emax (percentage maximum constriction). All data are means+SEM. p\u200a=\u200ans.Potency and efficacy of vasoconstrictor response to phenylephrine in pressurised mesenteric arterioles from Apoe(0.04 MB DOC)Click here for additional data file."}
+{"text": "One of the synthetic analogues, deacetyl-thymosin \u03b11, showed no restorative effect under the same conditions.Two deacetyl-thymosin \u03b1"}
+{"text": "Sir,We thank Luis I. Gonzalez-Granado for his comments regardin5"}
+{"text": "In the Results section, Neu5Ac stands for N-Acetylneuraminic acid ."}
+{"text": "There was an error in affiliation number 3. The correct affiliation is: Aide aux L\u00e9preux Emmaus-Suisse, Berne, Switzerland."}
+{"text": "Background: A case of pneumococcal septicemia associated with laparoscopically documented acute salpingitis is reported.\t\t\t\t\tCase: Gram-stained cul-de-sac pus revealed gram-positive encapsulated diplococci.\t\t\t\t\tConclusion: This case coupled with reanalysis of prior genital tract involvement in nonpregnant individuals argues that Streptococcus pneumoniae can mimic gonococcal diseases."}
+{"text": "The central Cd atom is chelated by the 4\u2032-p-tolyl-2,2\u2032:6\u2032,2\u2032\u2032-terpyridine ligand and is coordinated by the N atoms of three thio\u00adcyanate ions in an octa\u00adhedral geometry whereas the Ag atom is coordinated by the four S atoms of four thio\u00adcyanate ions in a distorted tetra\u00adhedral geometry. Of the three thio\u00adcyanate ions, one functions in a \u03bc 2-bridging mode and two in a \u03bc 3-bridging mode. The ribbon coordination polymer propagates along the a-axis.The title compound, [AgCd(NCS) DOI: 10.1107/S160053681003744X/nk2062Isup2.hkl Structure factors: contains datablocks I. DOI: crystallographic information; 3D view; checkCIF report Additional supplementary materials:"}
+{"text": "Correction for:10.1371/journal.pmed.0050196Cheung AM, Tile L, Lee Y, Tomlinson G, Hawker G, et al. (2008) Vitamin K supplementation in postmenopausal women with osteopenia : A randomized controlled trial. PLoS Med 5(10): e196. doi:Three errors were made in the Funding and Acknowledgments sections of this article. In the Funding section, the \u201cWyeth Foundation\u201d should be replaced by the \u201cCentrum Foundation\u201d and \u201cWhitehall Robbins\u201d should be spelled \u201cWhitehall Robins.\u201d In the Acknowledgments section, \u201cDr. Faten Al-Doori\u201d should be spelled \u201cDr. Faten Al-Douri.\u201d"}
+{"text": "Nature Communications; 10.1038/s41467-018-08264-w, published online 22 Jan 2019.Correction to: x-axis labels inadvertently read \u2018Tmc1\u2019 instead of \u2018Tmc2\u2019. These errors have been corrected in both the PDF and HTML versions of the Article.The original version of this Article contained errors in Fig.\u00a05. In panels i and j the three rightmost"}
+{"text": "Gmelina arborea Roxb. (Family: Verbenaceae) Extract Upregulates the \u03b2-Cell Regeneration in STZ Induced Diabetic Rats\u201d [In the article titled \u201cic Rats\u201d , the fol\u03b2 Cell Regenerative Effects of Spondias pinnata (Linn. f.) Kurz. Bark Extract on Streptozotocin Induced Diabetic Rats\u201d [Animals in the healthy control, diabetic control, and glibenclamide-treated groups overlap with another article titled \u201cAntihyperglycaemic, Antihyperlipidaemic and ic Rats\u201d , as the ic Rats\u201d . Furtheric Rats\u201d , 2."}
+{"text": "Scientific Reports 10.1038/s41598-019-38509-7, published online 12 February 2019Correction to: This Article contains a typographical error in the \u2018Overall Amplifier Schematic\u2019 section where,http://www.fuw.edu.pl/mwinkowski/.\u201d\u201cFull schematic and printed circuit board (PCB) fabrication data is available at should read:http://www.fuw.edu.pl/~mwinkowski/.\u201d\u201cFull schematic and printed circuit board (PCB) fabrication data is available at"}
+{"text": "Scientific Reports 10.1038/s41598-018-32210-x, published online 26 September 2018Correction to: The original version of this Article contained typographical errors, where the unit \u2018ng/ml\u2019 was incorrectly given as \u2018pg/ml\u2019. As a result, in the Abstract,\u201cThe cut-off value of H-FABP, 4.143\u2009pg/mL, was determined using receiver operating characteristic curves.\u201dnow reads:\u201cThe cut-off value of H-FABP, 4.143\u2009ng/mL, was determined using receiver operating characteristic curves.\u201dIn the Results section under subheading \u2018Patients\u2019,\u201cThe cut-off value of H-FABP (4.143\u2009pg/mL) was determined by receiver operating characteristic curves (ROC) curve analysis between the patients with and without CV events from the blood sample obtained at enrollment.\u201dnow reads:\u201cThe cut-off value of H-FABP (4.143\u2009ng/mL) was determined by receiver operating characteristic curves (ROC) curve analysis between the patients with and without CV events from the blood sample obtained at enrollment.\u201dIn the Discussion section,\u201cThis study is the first prospective cohort study to demonstrate that a higher serum H-FABP level (\u22674.143 pg/mL) is an independent predictor for CV events, particularly for cardio- and cerebrovascular death and acute heart failure-related hospitalizations in patients with SCHD.\u201dnow reads:\u201cThis study is the first prospective cohort study to demonstrate that a higher serum H-FABP level (\u22674.143 ng/mL) is an independent predictor for CV events, particularly for cardio- and cerebrovascular death and acute heart failure-related hospitalizations in patients with SCHD.\u201dIn Table 2, the column headings \u2018H-FABP < 4.143\u2009pg/mL\u2019 and \u2018H-FABP \u2267 4.143\u2009pg/mL\u2019 have been corrected to \u2018H-FABP\u2009<\u20094.143\u2009ng/mL\u2019 and \u2018H-FABP \u2267 4.143\u2009ng/mL\u2019, respectively.In Table 3, the column headings \u2018H-FABP <4.143pg/mL, (n=843)\u2019 and \u2018H-FABP \u22674.143pg/mL, (n=228)\u2019 have been corrected to \u2018H-FABP <4.143ng/mL, (n=843)\u2019 and \u2018H-FABP \u22674.143ng/mL, (n=228)\u2019, respectively.In the legend of Figure 2,a), CV or cerebrovascular death-free rate (b), acute heart failure hospitalization-free rate (c), and total CV event-free rate except for angina-related hospitalization (d) in patients with serum H-FABP \u22674.143 pg/mL and H-FABP <4.143 pg/mL .\u201d\u201cKaplan\u2013Meier survival curves analysis showing total cardiovascular (CV) event-free rate (now reads:a), CV or cerebrovascular death-free rate (b), acute heart failure hospitalization-free rate (c), and total CV event-free rate except for angina-related hospitalization (d) in patients with serum H-FABP \u22674.143 ng/mL and H-FABP <4.143 ng/mL .\u201d\u201cKaplan\u2013Meier survival curves analysis showing total cardiovascular (CV) event-free rate (In addition, the original version of this Article contained typographical errors, where the unit \u2018g/dL\u2019 was incorrectly given as \u2018mg/dL\u2019. As a result, in Table 2, the row heading \u2018Hemoglobin, mg/dL\u2019 has been corrected to \u2018Hemoglobin, g/dL\u2019.These errors have now been corrected in the HTML and PDF versions of the Article."}
+{"text": "Scientific Reports 10.1038/s41598-018-26898-0, published online 31 May 2018Correction to: This Article contains an error in Table 1.In the \u2018Reproduction mode\u2019 column, Nassau grouper (Epinephelus striatus) should be listed as \u2018Gonochoristic\u2019, not \u2018Protogynous\u2019."}
+{"text": "Scientific Reports 10.1038/s41598-017-06706-x, published online 16 August 2017Correction to: C. glaucum\u2019,This Article contains errors in the Results section, under the subheading \u2018Analysis of interaction between CDPK and bHLH in \u201cThe three top ranking models of the CgCDPK-CgbHLH001 interaction complex were presented in Fig. 5c\u201dshould read:\u201cThe three top ranking models of the CgCDPK-CgbHLH001 interaction complex were presented in Fig. 6c\u201dIn addition,61-GKRLKS-66 was a putative action site for CgCDPK.\u201d\u201cPrediction of phosphorylation sites of CgbHLH001 revealed 39 potential amino acid residues , in which the motif of should read:91-GKRLKS-96 was a putative action site for CgCDPK.\u201d\u201cPrediction of phosphorylation sites of CgbHLH001 revealed 39 potential amino acid residues , in which the motif of"}
+{"text": "Scientific Reports 10.1038/s41598-019-45855-z, published online 01 July 2019Correction to: This Article contains errors in Tables 1 and 2, where the columns entitled \u201cF vale\u201d should read \u201cF value\u201d."}
+{"text": "The comment should have appeared as \u201cMinimal exposure, short follow-up period of 8.6 y.\u201d This article has been corrected.1In the Original Investigation titled \u201cAssociation Between Marijuana Use and Risk of Cancer: A Systematic Review and Meta-analysis,\u201d"}
+{"text": "Correction to: BMC Bioinf (2019) 20:312https://doi.org/10.1186/s12859-019-2843-0Following publication of the original article , the autIn the \u2018Results\u2019 section under heading \u2018Case study I: Measles\u2019, the following lines are missing in the published article:1. line \u2018KendrickModel SEIR\u2019 should be inserted before the following:2. line \u2018Simulation MeaslesRKSim rungeKutta\u2019 should be inserted before the following:3. line \u2018KendrickModel SIR\u2019 should be inserted before the following:4. line \u2018Experiment PopRateAnalysis\u2019 should be inserted before the following:"}
+{"text": "Scientific Reports 10.1038/s41598-017-15650-9, published online 15 November 2017Correction to: This Article contains an error in the Methods section under the subheading \u2018Statistics\u2019.\u201cThe sequencing data are available from the European Nucleotide Archive (accession number PRJEB21167).\u201dshould read:\u201cThe sequencing data are available from the NCBI Sequence Read Archive (accession number PRJNA390475).\u201d"}
+{"text": "Scientific Reports 10.1038/s41598-018-28365-2, published online 02 July 2018Correction to: This Article contains a typographical error in the Results and Discussion section in the second subheading where,\u201cVertical Eddy Flux (VEF)ss\u201dshould read:\u201cVertical Eddy Flux (VEF)\u201d"}
+{"text": "Correction to: CVIR Endovasc (2018) 1:19https://doi.org/10.1186/s42155-018-0027-zIn the published article (Duvnjak et al. \u201cNot applicable\u201dshould read:\u201cInformed consent for publication of this case report and its accompanying images has been obtained from the patient\u201d"}
+{"text": "The first corresponding author's, Guizhen Chen, email should be cgzhen2000@163.com.In the article, \u201cAcupuncture for primary osteoporosis: A network meta-analysis of randomized controlled trials protocol\u201d,"}
+{"text": "Scientific Reports 10.1038/s41598-017-06980-9, published online 07 August 2017Correction to: The Supporting Information file that accompanies this Article contains errors in SI-7, \u2018The average mass of single SPION and number of SPION in Magnetoliposomes\u2019,\u201cshould read:\u201c"}
+{"text": "LY15H200001.In the article, \u201cAn epidemiological survey of HBV infection and low-level HBsAg in military camps in eastern China\u201d,"}
+{"text": "In the article titled \u201cWingless-Type MMTV Integration Site Family Member 5a Is a Key Secreted Islet Stellate Cell-Derived Product that Regulates Islet Function\u201d , the key"}
+{"text": "Correction to: Translational Psychiatry;10.1038/s41398-018-0201-z;Published online 14 August 2018.The author\u2019s name was spelled incorrectly as \u201cMasahir Okamoto\u201d. This has been updated to \u201cMasahiro Okamoto\u201d in the HTML and PDF of the article."}
+{"text": "Sci., 2014, 5, 1533\u20131537.Correction for \u2018Utilizing the bioorthogonal base-pairing system of"}
+{"text": "Scientific Reports 10.1038/s41598-018-26947-8, published online 05 June 2018Correction to: In the \u201cSupplementary Table S2\u201d file originally published with this Article, columns E and G contained incorrect accession numbers. These errors have been corrected in the \u201cSupplementary Table S2\u201d file that now accompanies the Article."}
+{"text": "Detarium microcarpum, Guiera senegalensis, and Cassia siamea Induce Apoptosis and Cell Cycle Arrest and Inhibit Metastasis on MCF7 Breast Cancer Cells\u201d [In the article titled \u201cr Cells\u201d , an acknThe article is partially funded by USM-Bridging Grant: (304.CIPPT.6316239)."}
+{"text": "Scientific Reports 10.1038/s41598-018-31985-3, published online 12 September 2018Correction to: In Figure 5b the p-value is incorrect. The correct Figure 5 appears below as Figure\u00a0As such, this Article contains an error in the Results section under subheading \u2018Belief State Model predicts pupil responses quantitatively better than Stimulus State Model\u2019,\u201cFor the post-feedback interval, there was a trend towards a stronger correlation for the Belief State Model than the Stimulus State Model (p\u2009=\u20090.074).\u201dshould read\u201cFor the post-feedback interval, there was no difference between the models (p\u2009=\u20090.326)\u201d."}
+{"text": "Scientific Reports 10.1038/s41598-017-08253-x, published online 11 August 2017Correction to: This Article contains a typographical error in the Methods section under subheading \u2018Operation of the DT neutron generator\u2019 where,\u201cThe generator was set to a pulse length of 3.33 \u03bcs with a repetition rate of 300\u2009Hz.\u201dshould read:\u201cThe generator was set to a pulse length of 333.33 \u03bcs with a repetition rate of 300\u2009Hz.\u201dAdditionally, in the Results section under the subheading \u2018Localization of weapons-grade HEU\u2019,\u201cThe tungsten-moderated HEU configuration did not produced an increased correlated count rate (Table 1).\u201dshould read:\u201cThe tungsten-moderated HEU configuration did not produce an increased correlated count rate (Table 1).\u201d"}
+{"text": "Open Forum Infect Dis 2019; 6(3):ofz144]. The author listing of \u201cXuefang Zhang\u201d should state \u201cXuefeng Zhang.\u201d This has now been corrected online.An error appeared in an article published in the April 2019 issue of the journal [Kmush BL, Yu H, Huang S, et al. Long-term Antibody Persistence After Hepatitis E Virus Infection and Vaccination in Dongtai, China."}
+{"text": "Abdominal fat mass is associated with metabolic risk whilst gluteal femoral fat is paradoxically protective. MicroRNAs are known to be necessary for adipose tissue formation and function but their role in regulating human fat distribution remains largely unexplored.An initial microarray screen of abdominal subcutaneous and gluteal adipose tissue, with validatory qPCR, identified microRNA-196a as being strongly differentially expressed between gluteal and abdominal subcutaneous adipose tissue.HOXC locus, is an eQTL for miR-196a expression in abdominal subcutaneous adipose tissue (ASAT). Observations in large cohorts showed that rs11614913 increased waist-to-hip ratio, which was driven specifically by an expansion in ASAT. In further experiments, rs11614913 was associated with adipocyte size. Functional studies and transcriptomic profiling of miR-196a knock-down pre-adipocytes revealed a role for miR-196a in regulating pre-adipocyte proliferation and extracellular matrix pathways.We found that rs11614913, a SNP within pre-miR-196a-2 at the These data identify a role for miR-196a in regulating human body fat distribution.Medical Research Council and Novo Nordisk UK Research Foundation (G1001959) and Swedish Research Council. We acknowledge the OBB-NIHR Oxford Biomedical Research Centre and the British Heart Foundation (BHF) (RG/17/1/32663). Work performed at the MRC Epidemiology Unit was funded by the United Kingdom's Medical Research Council through grants MC_UU_12015/1, MC_PC_13046, MC_PC_13048 and MR/L00002/1.This work was supported by the Body fat distribution is a strong predictor of metabolic health, independent of total adiposity. The role of microRNAs is regulating body fat distribution has not been well defined.We demonstrate that miR-196a shows strong adipose depot-specific expression patterns. A single nucleotide polymorphism in pre-miR-196a-2 influences the expression of miR-196a in abdominal subcutaneous adipose tissue and is associated with waist-hip ratio. Furthermore, functional studies demonstrate that miR-196a regulates pre-adipocyte proliferation and extracellular matrix composition.Our study identifies a role for miR-196a in regulating human body fat distribution. MicroRNAs hold potential as therapeutic targets and biomarkers.Alt-text: Unlabelled Box1The metabolic consequences of adiposity are dictated not only by absolute adipose tissue (AT) mass but also by its distribution , to the 22.12.1.1The OBB is a cohort of apparently healthy 30\u201350-year old men and women from Oxfordshire . All vol2.1.22, age 44\u22195 (42\u22198\u201348\u22195) years) who were undergoing bariatric surgery as previously described [Paired whole VAT and ASAT surgical biopsies were obtained from sixteen Caucasian women (BMI 43\u22191 (36\u22199\u201347\u22196) kg/mescribed .2.1.3et al [p-values were corrected using genomic control at the individual study level and again after meta-analysis. Manhattan plots for the meta-analysis are available here [The GIANT consortium has access to anthropometric and genotyping data for nearly 250,000 individuals. Shungin et al conducteble here .2.1.4The UK Biobank includes anthropometric, biochemical and genetic data from >500,000 men and women recruited between 2006 and 2010 (REC 11/NW/0382). Further details are available elsewhere .2.1.5The EPIC-Norfolk cohort includes 25,000 men and women who were aged between 40 and 79 at recruitment and who underwent DXA imaging for body composition at the 20\u202fyear follow up assessment.2.1.6The Fenland Study is a population-based cohort study of the interaction between genetics and environment in the development of diabetes and obesity. The cohort contains a Cambridgeshire-based population of men and women without diabetes born between 1950 and 1975. Participants undergo detailed anthropometric and metabolic characterisation along with genotyping and DXA determination (GE Lunar iDXA) of body composition as recently described [2.1.7Genotyping and phenotypic data on fat cell size in ASAT was obtained as described previously .2.2n\u202f=\u202f1). The imAPAD and imGPAD cell lines have been described previously [v/v, 1:1), 10% foetal calf serum (FCS) , 0.25\u202fng/ml fibroblast growth factor (FGF), 100\u202fU/ ml penicillin and 0.1\u202fmg/ ml streptomycin). All cell cultures were incubated at 37\u202f\u00b0C with 5% CO2. To differentiate pre-adipocytes, confluent cells were cultured for 14\u202fdays with differentiation media (DMEM/F12 HAM (1:1) containing 2\u202fmM glutamine, 17\u202f\u03bcM pantothenate, 100\u202fnM human insulin, 1\u202fnM triiodo-L-thyronine (T3), 33\u202f\u03bcM biotin, 10\u202f\u03bcg/ ml transferrin and 1\u202f\u03bcM dexamethasone, with the addition of 3-Isobutyl-1-methylxanthine (IBMX) (250\u202f\u03bcM) and troglitazone (4\u202f\u03bcM) for the first 4\u202fdays).Primary pre-adipocytes were obtained by collagenase digestion of minced whole AT biopsies. Volunteers for AT biopsy were recruited from the OBB and were not included in other datasets involving OBB subjects. For determination of miR-196a in fractionated AT the floating adipocyte layer and stromal-vascular pellet were isolated after collagenase digestion and fractionation (eviously . For celHuman Embryonic Kidney 293 (HEK293) cell lines were cultured in growth media consisting of DMEM with 4500\u202fmg/l glucose, 10% FCS, 2\u202fmM glutamine, 100\u202fU/ ml penicillin and 0.1\u202fmg/ ml streptomycin.2.3E. coli . Amplified plasmids were isolated using the Midiprep plasmid kit .MISSION custom hsa-miR-196a-5p inhibitor and ath-imAPAD and imGPAD cell line pre-adipocytes at passage 8 were plated in T25 flasks at a density of 1\u22192x105cells/flask in complete growth media. Cells were transduced by culturing in complete growth media with the addition of lentiviral particles and hexadimethrine bromide at a final concentration of 8\u202f\u03bcg/ml. Pre-adipocyte cell lines were cultured in the presence of 2\u202f\u03bcg/ml puromycin during the proliferative phase but not after the addition of differentiation media. The stable cell lines generated are referred to as imAPAD mir-196aKD, imAPAD-Con, imGPAD mir-196aKD and imGPAD-Con. Intracellular lipid levels were quantified using the AdipoRed assay reagent (Lonza) and a CytoFluor Multi-Well Plate Reader series 4000 (PerSeptive Biosystems). To calculate doubling time, pre-adipocytes were seeded at equal density in T75 flasks and were trypsinised and triple counted every 72\u202fh. Doubling time was calculated using the formula:Lentiviral particles were produced by co-transfection of HEK293 cells with the MISSION hsa-mir-196a-5p inhibitor or ath-miR-416 negative control vector along with packaging vectors using Fugene 6 . To generate stable pre-adipocyte cell lines, Doubling time\u202f=\u202ft2-t1 ((log [where t\u202f=\u202ftime (days) and q\u202f=\u202fcell number.33.1PPIA) and phosphoglycerate kinase 1 (PGK1); miRNA and pre-miRNA abundance was quantified relative to the average of miR-103, miR-24 and miR-331 [RNA was isolated from Tri-reagent. For microarray experiments RNA was purified using MirVana Columns (Life Technologies). For other experiments RNA was purified using a standard Tri-reagent protocol. cDNA was synthesised using the miScript kit (Qiagen). For mRNA quantification qPCR was performed using Taqman Assays-on-Demand (Applied Biosystems) and Kapa Probe Fast Mastermix (Kapa Biosystems) in a 6\u202f\u03bcl final volume. For microRNA quantification Qiagen miScript primer assays were used with the QuantiTect SYBR Green PCR Kit in an 8\u202f\u03bcl reaction. Gene expression was quantified using the \u0394\u0394CT method : mRNA wa miR-331 . Reading3.2Genomic DNA was extracted from whole blood by LGC Genomics . Genotyping in the OBB cohort was performed on 10\u202fng of DNA using KASP On Demand custom designed and validated primers for rs11614913 . Allelic discrimination performed was on the ABI Prism 7900 HT Real-Time PCR System using SDSv2.3 software .3.3AB_1925078) at a 1:1000 and 1:1000 goat anti-rabbit IgG horseradish peroxidase (HRP)-conjugated secondary antibodies (DAKO). An enhanced chemiluminescence (ECL) reaction was performed using Clarity ECL substrate and was visualised using both the ChemiDoc MP and imaging film. HOXC8 was quantified and normalised to total protein using Image Lab software .HEK293 cell lines transduced with miR-196a KD or control vector were cultured in 6-well plates and then lysed by the addition of 150\u202f\u03bcl of lysis buffer . Normalised protein samples were resolved on a Criterion Stain-Free precast gel . Protein transfer onto a polyvinylidene fluoride (PVDF) membrane was performed using the Trans-Blot Turbo system . The membrane was visualised with the ChemiDoc MP system to quantify total protein in each lane. The membrane was probed with HOXC8 rabbit polyclonal antibody and 7 overweight (BMI\u202f>\u202f25)) and paired GSAT biopsies from 8 of the men (5 lean and 3 overweight) were hybridized to individual Agilent Human microRNA Microarrays v2.0 . The DNA microarray scanner (Agilent G2565BA) was used to scan hybridized microarrays and features were extracted using the Agilent Feature Extraction image analysis tool (version 9.5.1) with default protocols and settings. Data were background corrected and quantile normalised in R using th and 7 ov3.5imAPAD mir-196aKD, imAPAD-Con, imGPAD mir-196aKD and imGPAD-Con pre-adipocytes were harvested in Tri-reagent. Cells were harvested on day 3 after plating and were sub-confluent. RNA was isolated using the mirVana miRNA Isolation Kit (Life Technologies). RNA concentration was assessed using the Nanodrop ND-1000 spectrophotometer and by RiboGreen\u00ae assay and samples were normalised to give 100\u202fng RNA in a total volume of 11\u202f\u03bcl. RNA quality was verified using the Agilent TapeStation . RNA samples were reverse transcribed using the Illumina TotalPrep-96 RNA Amplification Kit and then converted into labelled cDNA using the Illumina Whole-Genome Gene Expression Direct Hybridisation Assay. The labelled ss-cDNA was then hybridized to two HumanGene2.1 ST-16 Array Plates. The array was washed, stained and scanned using the Affymetrix GeneTitan platform. Raw data were Robust multi-array (RMA) normalised and checked for quality. Differential expression analysis was performed in R [Six replicates of passage 10 med in R .http://www.david.niaid.nih.gov/ [p-values for the cluster. Transcripts were excluded from analysis if expression was below background intensity in both conditions being compared.Gene ontology (GO) enrichment analysis was performed in Database for Annotation, Visualization, and Integrated Discovery (DAVID) with3.6HOXC locus, we first identified all of the independent signals in the locus using approximate conditional testing in Genome-wide Complex Trait Analysis (GCTA) [N\u202f=\u202f949), included in the GIANT analysis, was used as the reference dataset in the GCTA analysis. Once we had identified the independent signals contained in the locus, we performed conditional testing to generate summary-level data for each signal. For example, to generate summary-level data for independent signal A (index SNP rs10783615), we conditioned on independent signals B (index SNP rs1443512) and C (index SNP rs2071449) and then stored the resulting summary-level statistics. We repeated this process for signals B and C. We used the index SNPs as reported in the initial genome-wide association study of WHR performed in GIANT [To generate credible sets of likely-causal variants at the s (GCTA) using thWe performed an identical analysis using the UK Biobank data. We used the individual level genotypes from the UK Biobank as a reference for the GCTA analyses, and used the same three SNPs as index SNPs for conditional testing.3.7p-values are two-tailed.Statistical analyses were performed in SPSS 20.0 or 22.0. All 3.810.17632/krgbnvxc5v.1) and for miR-196a KD in immortalised abdominal and gluteal pre-adipocytes (DOI: 10.17632/m4xtmzmx39.1) are available at Mendeley (https://data.mendeley.com).Supplementary data for the microarray analysis of microRNAs in ASAT tissue from 15 men, with paired gluteal adipose tissue from 8 of the men (DOI: 44.12) and 7 overweight (BMI\u202f>\u202f25\u202fkg/m2)) together with paired gluteal subcutaneous adipose tissue (GSAT) from 4 lean and 4 overweight men. Of the 161 miRNAs included in the array and expressed in AT, 32 reached the significance threshold (p\u202f=\u202f0\u221905) for differential expression with a fold change of at least 20% (Table S1). Validation qPCR was performed on paired ASAT and GSAT biopsies from an expanded panel of 20 men and 20 women from the OBB and including both lean and overweight BMI categories (Table S2). Twelve of the original miRNAs remained significant after validation . MiR-196a is of particular interest because it is found within the HOXC13 locus, which has been linked to WHR adjusted for BMI in large-scale genome-wide association studies [HOXC8, which in turn regulates the adipogenic signal CEBP\u03b2 [p\u202f=\u202f0\u221918; GSAT: p\u202f=\u202f0\u221982, independent samples t-test). We therefore hypothesised that miR-196a could have a functional role in determining body fat distribution.To assess the extent to which miRNAs may contribute to body fat distribution, we performed microarray miRNA profiling of abdominal subcutaneous adipose tissue (ASAT) from 15 men recruited from the Oxford Biobank (OBB) . The depot-specific expression pattern of miR-196a was seen in both men and women (Table S3).Further dissection of miR-196a expression in AT using the expanded follow-up panel of 40 individuals (Table S2) demonstrated it was not influenced by sex and markers of terminal adipocyte differentiation was similar for both primary and immortalised differentiated pre-adipocytes derived from both depots, although cells of GSAT origin accumulated significantly more intracellular lipid compared with ASAT, confirming the depot-specific expression pattern. Additionally, miR-196a is highly expressed in human AT compared to other tissues: a previous analysis of high-throughput sequencing data from 131 individuals from the MuTHER cohort [We next performed ectively ). Expresshown in ). The mill lines b-c, suggntiation b-c. ConsR cohort revealedHOXA5 [, HOXB8 [HOXC8 [HOXA5: 5-fold lower in GSAT vs ASAT, p\u202f<\u202f0\u2219001; HOXB8: 3-fold lower in GSAT, p\u202f=\u202f0\u221916; HOXC8: 2-fold lower in GSAT, p\u202f<\u202f0\u2219001). These patterns were maintained during in vitro differentiation of primary pre-adipocytes and the immortalised pre-adipocyte cell lines .The homeobox miR-196a target mRNAs HOXA5 , HOXB8 [[, HOXB8 ,39 and H8 [HOXC8 ,39,40 din\u202f=\u202f40, 2.4-fold higher in GSAT than ASAT, p\u202f=\u202f.006, Wilcoxon signed rank test), which shows that miR-196a-2 is the predominant paralogue in human AT.There are three paralogues of the mir-196 gene located on different chromosomes: mir-196a-1 and 2 transcribe the same mature miRNA which cannot be distinguished by qPCR, but are derived from unique precursor sequences; miR-196b differs from mir-196a-1 and 2 by one nucleotide. Pre-miR-196a-1 was not detected by qPCR in either AT depot in the expanded panel (Table S2), whilst pre-miR-196a-2 showed depot-specific expression mirroring mature miR-196a \u202f=\u202f0.59 with rs2071449 indicating moderate linkage disequilibrium). To investigate whether rs11614913 has any functional consequences and is linked to the associations observed for this region we first confirmed an association between rs11614913 and body fat distribution. Meta-analysis data from the GIANT consortium [n\u202f=\u202f141,414, beta (se)\u202f=\u202f0\u221903 (0\u2219004), p\u202f=\u202f6\u22199\u202f\u00d7\u202f10\u221211) in both men \u202f=\u202f0\u221903 (0\u2219007), p\u202f=\u202f2\u22197\u202f\u00d7\u202f10\u22125) and women \u202f=\u202f0\u221902 (0\u2219006), p\u202f=\u202f1\u22191\u202f\u00d7\u202f10\u22127). This was mediated by an expansion in waist circumference \u202f=\u202f0\u221903 (0\u2219004), p\u202f=\u202f1\u22197\u202f\u00d7\u202f10\u221211; men: n\u202f=\u202f60,340, beta (se)\u202f=\u202f0\u221903 (0\u2219007), p\u202f=\u202f1\u22192\u202f\u00d7\u202f10\u22126; women: n\u202f=\u202f90,592, beta (se)\u202f=\u202f0\u221903 (0\u2219005), p\u202f=\u202f6\u22198\u202f\u00d7\u202f10\u22128) rather than an association with hip circumference \u202f=\u202f0\u22190003 (0\u2219005), p\u202f=\u202f0\u221995; men: n\u202f=\u202f56,413, beta (se)\u202f=\u202f0\u2219004 (0\u2219007), p\u202f=\u202f0\u221953; women: n\u202f=\u202f86,241, beta (se)\u202f=\u202f\u22120\u22190016 (0\u2219006), p\u202f=\u202f0\u221978). The association between the rs11614913 TT genotype and WHR adjusted for BMI replicates in the UK Biobank sample [n\u202f=\u202f120,126, beta (se)\u202f=\u202f0\u221903 (0\u2219004), p\u202f=\u202f1\u22194\u202f\u00d7\u202f10\u221210; men: n\u202f=\u202f56,863, beta (se)\u202f=\u202f0\u221902 (0\u2219004), p\u202f=\u202f3\u22198\u202f\u00d7\u202f10\u22123; women: n\u202f=\u202f63,308, beta (se)\u202f=\u202f0\u221903 (0\u2219004), p\u202f=\u202f1\u221904\u202f\u00d7\u202f10\u22129). Furthermore, within the OBB population rs11614913 was associated with lean mass of the arms \u202f=\u202f\u22120\u2219019 (0\u2219007), p\u202f=\u202f0\u2219008) following adjustment for age, gender, height squared and first four principal components. We did not observe a significant association between rs11614913 genotype and total lean mass \u202f=\u202f\u22120\u2219010 (0\u2219007), p\u202f=\u202f0\u221916) or lean mass of the legs \u202f=\u202f\u22120\u22190089 (0\u2219008), p\u202f=\u202f0\u221928), in keeping with the upper body regionality of the miR-196a AT phenotype.Previous genome-wide efforts have used conditional association testing to identify three independent signals for WHR adjusted for BMI harboured within the B and C ). The sek sample and UK Biobank data to perform conditional testing on each of the three independent HOXC loci signals in each respective dataset. Using a Bayesian-refinement approach [n\u202f=\u202f24,010) showed that rs11614913 was specifically associated with ASAT expansion \u202f=\u202f(0\u22190093), p\u202f=\u202f1\u221905\u202f\u00d7\u202f10\u22128, Table S4). We therefore investigated whether there was a functional mechanism by which rs11614913 might be causal for AT expansion.To further characterise the contribution of this complex region to the observed WHR association, we used GIANT European-ancestry data , and determined miR-196a expression by qPCR in paired ASAT and GSAT biopsies. Expression of miR-196a was lower in ASAT for TT carriers TT\u202f=\u202f0\u221970 (0\u2219053) CC/CT\u202f=\u202f1\u221902 (0\u2219098), p\u202f=\u202f0\u2219005, t-test; p\u202f=\u202f0\u2219011; women: \u221234%, p\u202f=\u202f0\u221918), consistent with a recessive effect, but not quite statistically significant in GSAT TT\u202f=\u202f1\u221988 (0\u221916), CC/CT\u202f=\u202f2\u221905 (0\u221919), p\u202f=\u202f0\u2219061, t-test, men: \u22129%, p\u202f=\u202f0\u221938; women: \u221210%, p\u202f=\u202f0\u2219089) which has the higher overall expression. We saw no difference in levels of HOXA5, HOXB8 or HOXC8 between genotype groups in the panel of 90 individuals . However, within the larger MuTHER dataset [HOXC8 expression in ASAT . Within the panel of 90 individuals there was no effect of the genotype on pre-miR-196a-2 expression , suggesting that the effect of the T allele is occurring post-transcriptionally at the level of pre-miRNA processing. The rs11614913 is within the pre-miR-196a-2; in silico modelling of pre-miR-196a-2 in M-fold [A separate earlier study including 70 individuals did not identify rs11614913 as an eQTL for miR-196a , so to i dataset rs116149n M-fold predicte4.4imAPAD and imGPAD), which are derived from ASAT and GSAT respectively [HOXC8 [imAPAD-mir-196aKD vsimAPAD-Con\u202f=\u202f9\u22195%, p\u202f=\u202f0\u2219002; imGPAD-mir196aKD vsimGPAD-Con\u202f=\u202f12\u22193%, p\u202f=\u202f0\u2219002). There was no difference in adipogenesis of control vs. miR-196aKD pre-adipocytes, as determined by microscopy . These data suggest that lower miR-196a expression reduces the tissue adipocyte cellularity via adipocyte hypertrophy rather than hyperplasia. Histological examination of whole ASAT biopsies was consistent with this: in ASAT needle biopsies from an independent cohort [n\u202f=\u202f81, beta\u202f=\u202f0\u221915, p\u202f=\u202f0\u2219019), but not in women .To investigate if miR-196a influences adipogenesis we generated stable miR-196a knock down (KD) cell lines by lentiviral transduction from immortalised pre-adipocyte cell lines enrichment analysis of 441 annotated transcripts significantly regulated between imGPAD miR-196aKD and imGPAD-Con demonstrated a significant enrichment for GO terms related to extracellular matrix (ECM) and vascular development (Benjamini-Hochberg adjusted data) indicating that reduced abundance of miR196a may affect matrix expression in vivo (in vivo adipogenesis [To identify AT features that would sustain the observed adipocyte hypertrophy we performed microarray profiling of ed data) , suggest in vivo f. MiR-19ogenesis .Table 1G5MIR196A gene lies within the LD block defined by rs2071449, which is an intronic SNP within HOXC4 and C5, and the sentinel SNP for the WHR adjusted for BMI phenotype association in the region [HOXC locus. It should be noted that the populations used in these studies were almost exclusively of European ancestry, and further studies will be required to validate these findings in other populations. Men and women have markedly different body fat distribution. Whilst rs11614913 is associated with increased WHR in both sexes, the association between rs11614913 and adipocyte size was significant in men only. Therefore, in vitro miR-196aKD experiments were conducted using immortalised pre-adipocytes from a male donor. Further work is indicated to determine whether there is sexual dimorphism in the actions of miR-196a.The In conclusion, miR-196a, which shows strong AT depot-specific expression, is under genetic influence and exerts a regulatory effect on AT structure and human body fat distribution by affecting the transcriptome for ECM.imGPAD -196aKD and imGPAD-Con cell lines and between imAPAD -196aKD and imAPAD-Con cell lines, after Benjamini-Hochberg correction for multiple testing (p <\u202f0\u221905). Column 3 refers to annotated transcripts differentially expressed between imAPAD -196aKD and imAPAD-Control cell lines with a fold change >50% and an unadjusted significance of p\u202f<\u202f0\u221901. The enrichment score for each cluster is the geometric mean of the Bonferroni-corrected p-values for the cluster."}
+{"text": "Scientific Reports 10.1038/s41598-019-44499-3, published online 05 June 2019Correction to: The Supplementary File 1 originally published with this Article contained typographical errors where \u2018rnaSPAdes\u2019 was incorrectly given as \u2018rnaSPades\u2019. Additionally, in Table S7 the column subheadings \u2018Salmon\u2019 and \u2018RSEM\u2019 were inverted. These errors have been corrected in the Supplementary File 1 that now accompanies the Article."}
+{"text": "Scientific Reports 10.1038/s41598-019-51884-5, published online 25 October 2019Correction to: This Article contains errors in the Results section under subheading \u2018Total annual movement distances\u2019.Camelus bactrianus; Table 2; Fig. 2), which are among their prey species.\u201d\u201cIn southwest Mongolia, gray wolves moved more than khulan or wild Bactrian camels , which are among their prey species.\u201d\u201cIn southwest Mongolia, gray wolves moved more than khulan or wild Bactrian camels (Additionally, in Table 2, \u201cBactrian camel\u201d should read \u201cWild camel\u201d."}
+{"text": "The article does not support the hypothesis.The journal is retracting the article, \u201cHemolytic jaundice induced by pharmacological dose ascorbic acid in glucose-6-phosphate dehydrogenase deficiency: A case report\u201d,"}
+{"text": "Nature Communications 10.1038/s41467-019-10855-0, published online 27 June 2019.Correction to: n\u2019 were incorrectly referred to as \u2018FKBP-NFAST\u2019 and \u2018FRB-CFASTn\u2019, respectively, in a number of places. As a result of this, the following changes have been made to the originally published version of this Article:The authors became aware of a mistake in the original version of this Article. Specifically, the fusion proteins \u2018FRB-NFAST\u2019 and \u2018FKBP-CFASTIn Fig.\u00a01b and Fig.\u00a01c, the vertical labels on the right-hand side originally incorrectly read \u2018FKBP-N + FRB-C\u2019 instead of the correct \u2018FRB-N + FKBP-C\u2019.b\u2013e HEK293T cells co-expressing FK506-binding protein (FKBP)-NFAST and FKBP-rapamycin-binding domain of mammalian target of rapamycin (FRB)-CFASTn (n = 10 or 11) were labeled with 5 \u03bcM HMBR (4-hydroxy-3-methylbenzylidene rhodanine) (b) or 10 \u03bcM HBR-3,5DOM (c) and imaged before and after the addition of 100 nM rapamycin\u2019. The correct version reads \u2018(FKBP)-CFASTn (n = 10 or 11)\u2019 in place of \u2018(FKBP)-NFAST\u2019 and \u2018(FRB)-NFAST\u2019 instead of \u2018(FRB)-CFASTn (n = 10 or 11)\u2019.The third sentence of the caption to Fig.\u00a01 originally incorrectly read \u2018e Temporal evolution of the fluorescence intensity after rapamycin addition in HMBR-treated cells co-expressing FKBP-NFAST and FRB-CFAST11 \u2019. The correct version reads \u2018FRB-NFAST\u2019 in place of \u2018FKBP-NFAST\u2019 and \u2018FKBP-CFAST11\u2019 instead of \u2018FRB-CFAST11\u2019.The sixth sentence of the caption to Fig.\u00a01 originally incorrectly read \u2018This has been corrected in both the PDF and HTML versions of the Article.In Supplementary Figs. 4a and 5a, the labels \u2018FKBP\u2019 and \u2018FRB\u2019 in the schematic at the top were incorrectly switched, both before and after the reaction.(a) Selected frames of representative HEK293 cells co-expressing FKBP-NFAST and FRB-CFASTn (n = 10 or 11) (labeled with 5 \u00b5M HMBR) upon addition of 100 nM rapamycin\u2019. The correct version reads \u2018FRB-NFAST\u2019 in place of \u2018FKBP-NFAST\u2019 and \u2018FKBP-CFASTn (n = 10 or 11)\u2019 instead of \u2018FRB-CFASTn (n = 10 or 11)\u2019.The second sentence of the caption to Supplementary Fig. 4 originally incorrectly read \u2018(a) Selected frames of representative HEK293 cells co-expressing FKBP-NFAST and FRB-CFAST11 upon addition of 100 nM rapamycin\u2019. The correct version reads \u2018FRB-NFAST\u2019 in place of \u2018FKBP-NFAST\u2019 and \u2018FKBP-CFAST11\u2019 instead of \u2018FRB-CFAST11\u2019.The second sentence of the caption to Supplementary Fig. 5 originally incorrectly read \u2018The HTML has been updated to include a corrected version of the Supplementary Information."}
+{"text": "Correction to: BMC Med Genomics10.1186/s12920-018-0412-4After publication of this supplement article , it was Please be advised that the correct title is \u201cHuman ancestry identification under resource constraints -- what can one chromosome tell us about human biogeographical ancestry?\u201dThat is, \u201cindentification\u201d should read \u201cidentification\u201d."}
+{"text": "In the article titled \u201cFibroblast Growth Factor-9 Activates c-Kit Progenitor Cells and Enhances Angiogenesis in the Infarcted Diabetic Heart\u201d , the nam"}
+{"text": "Scientific Reports 10.1038/s41598-017-17672-9, published online 18 December 2017Correction to: This Article contains errors.The reference to the PDB entry was missing. It is included below as Reference 1.\u201d\u201cVirtual screening was carried out on the IMP\u03b1:VEEV NLS crystal structure"}
+{"text": "In the original publication of the article the keywords are incorrectly online published. The correct keywords should read as \u201c\u03b1-conotoxin, nicotinc acetylcholine receptor, acetylcholine binding protein, X-ray crystallography\u201d."}
+{"text": "In the article titled \u201cIs IVF/ICSI an Independent Risk Factor for Spontaneous Preterm Birth in Singletons? A Population-Based Cohort Study\u201d , the acr"}
+{"text": "Correction to: Genome Biologyhttps://doi.org/10.1186/s13059-018-1586-yPage 5, paragraph\u00a03, line 4: \u201cPolyphenol oxidase (PPO) is an enzyme that causes browning in many fruits and vegetables. By knocking out this gene, Waltz and coworkers developed a non-browning mushroom\u201d. \u201cWaltz and coworkers\u201d should be \u201cYinong Yang and coworkers\u201d.Page 6, paragraph\u00a02, line 3: \u201cAdenine-deaminase-mediated base editing (ABE) is more complicated than CBE because no known naturally occurring cytidine deaminases catalyze adenine deamination in DNA rather than RNA\u201d. \u201cnaturally occurring cytidine\u00a0deaminases\u201d should be \u201cnaturally occurring adenine deaminases\u201d.Following publication of the original article , the aut"}
+{"text": "Sci., 2019, DOI: ; 10.1039/c8sc04561e.Correction for \u2018Palladium-scavenging self-assembled hybrid hydrogels \u2013 reusable highly-active green catalysts for Suzuki\u2013Miyaura cross-coupling reactions\u2019 by Petr Slav\u00edk"}
+{"text": "In the article titled \u201cToxic Effects of Trazodone on Male Reproductive System via Disrupting Hypothalamic-Pituitary-Testicular Axis and Inducing Testicular Oxidative Stress\u201d , there w\u201cThis study was supported by Anadolu University Scientific Research Projects Commission, (Grant Number: 1401S018)\u201d."}
+{"text": "Scientific Reports 10.1038/s41598-018-20024-w, published online 31 January 2018Correction to: In this Article, reference 23 is incorrectly cited in its third instance. The correct reference appears below as reference 1, and should appear in the Introduction as below:23\u201d\u201cMeanwhile, several modelling groups have used SIF data to optimise fluorescence model parametersshould read:1\u201d\u201cMeanwhile, several modelling groups have used SIF data to optimise fluorescence model parameters"}
+{"text": "Correction to: Translational Psychiatry10.1038/s41398-018-0311-7 Published online 14 December 2018Michael F. Grunebaum\u2019s name was misspelled/misstated as \u201cGruenbaum M.F.\u201d in the original Article. This has now been updated in the HTML and PDF versions of this Article."}
+{"text": "Regarding the article \u201cCross-cultural validation of the \u2018DISABKIDS\u2019 questionnaire forquality of life among Colombian children with chronic diseases\u201d, with DOI number:1518-8345.2378.3020, published in Rev. Latino-Am. Enfermagem, 2018;26:e3020, page 1:Where was written:2\u201cNadia Carolina Reina Gamba3Miguel Richart Martinez3\u201dJulio Cabrero Garc\u00edaNow Read:2\u201cNadia Carolina Reina-Gamba3Miguel Richart-Martinez3\u201dJulio Cabrero-Garc\u00eda"}
+{"text": "The article was submitted tomultiple journals and also published as \u201cPsychological Results of 438 Patients withpersisting Gastroesophageal Reflux Disease Symptoms by Symptom Checklist 90-RevisedQuestionnaire\u201d in Volume 7,Issue 2 of Euroasian Journal of Hepato-Gastroenterlogy.The article, \u201cThe psychological results of 438 patients with persisting GERD symptomsby Symptom Checklist 90-Revised (SCL-90-R) questionnaire\u201d,"}
+{"text": "Correction to: J Hematol Oncol (2016) 9:87https://doi.org/10.1186/s13045-016-0319-5The description, \u201c\u2026by four-color flow cytometry (FCM)\u201d was incorrect. The correct description should be \u201c\u2026by eight-color flow cytometry (FCM)\u201d.The description, \u201cLAIPs were detected by four-color FCM\u201d was incorrect. The correct description should be \u201cLAIPs were detected by eight-color FCM\u201d.The original article contains"}
+{"text": "Correction to: International Journal for Equity in Health (2019) 18:36https://doi.org/10.1186/s12939-019-0935-0Following publication of the original article , the autThe published caption \u201cThe blue line between \u201cSocial Location\u201d and \u201cMaterial Circumstances\u201d should be double headed, having an arrow head at both ends\u201d needs to be replaced with \u201cHealth Equity Measurement Framework\u201d.Also, in Fig.\u00a0The original article has been corrected as well.The publisher apologizes for any inconvenience caused by this error."}
+{"text": "The author wishes to make the following corrections to this paper . Due to The corrections include: (1) replacing the title \u201cDesign, Synthesis, and Evaluation of Novel 2-Hydroxypyrrolobenzodiazepine-5,11-dione Analogues as Potent Angiotensin Converting Enzyme (ACE) Inhibitors\u201d with \u201cDesign, Synthesis, and Evaluation of Novel Phenolic acid/Dipeptide/Borneol Hybrids as Potent Angiotensin Converting Enzyme (ACE) Inhibitors with Anti-hypertension Activity\u201d; and (2) replacing \u201c2-hydroxypyrrolobenzodiazepine-5,11-dione analogues\u201d with \u201cphenolic acid/dipeptide/borneol hybrids\u201d in the abstract.The authors would like to apologize for any inconvenience caused to the readers by these changes."}
+{"text": "In the article titled \u201cOxidative Stress-Related Parthanatos of Circulating Mononuclear Leukocytes in Heart Failure\u201d , incorre"}
+{"text": "Correction to: Samad et al. BMC Genomics (2019) 20:586https://doi.org/10.1186/s12864-019-5954-0Following publication of the original article , the aut27 miRNAs were upregulated, whereas 31 miRNAs were downregulated\u201d.1) In the Results section of the Abstract the sentence \u201cAmong these 58 differentially expressed genes (DEGs), 33 miRNAs were upregulated, whereas 25 miRNAs were downregulated\u201d should read \u201cAmong these 58 differentially expressed genes (DEGs), with their isomiRNAs. Among these significantly regulated miRNAs, 27 were upregulated and 31 were downregulated\u201d.2) In the sub-section \u2018Differential expression of miRNAs in C and F libraries\u2019 the following sentences should read \u201cThe plot showed significant changes in the regulation of 58 miRNAs synthase 1 (FDS1), targeted by pmi-miR6173\u201d.3) In the sub-section \u2018Analysis of target transcripts involved in terpenoid pathway\u2019, \u201csesquiterpene synthase and farnesyl diphosphate synthase (FDS), targeted by pmi-miR6173\u201d should instead read \u201csesquiterpene synthase and farnesyl diphosphate FDS1 and sesquiterpene synthase, which are involved in the MVA pathway, were targeted by pmi-miR6173\u201d.4) In the sub-section \u2018Expression profiles of miRNAs and their targets by RT-qPCR\u2019 the sentence \u201cTwo target transcripts, FDP and sesquiterpene synthase, which are involved in the MVA pathway, were targeted by pmi-miR6173\u201d should instead read \u201cTwo target transcripts, Populus tremula\u201d.5) In the sub-section \u2018Expression profiles of miRNAs and their targets by RT-qPCR\u2019 the following citation should hsix terpenoid related miRNAs could be utilized to regulate terpenoid biosynthesis by manipulating the MVA and MEP pathways through the RNAi mechanism.\u201d6) The final sentence of the \u2018Conclusions\u2019 section should read: \u201cThe above 7) The authors have provided corrected versions of Figs."}
+{"text": "Scientific Reports 10.1038/s41598-018-27740-3, published online 04 July 2018Correction to: In this Article, the ArrayExpress database accession number is incorrect. As a result, in the Results section under the \u2018miRNA microarray analysis\u2019 subheading and in the Methods section under the \u2018Accession codes\u2019 subheading,\u201cE-MTAB-3979\u201dshould read:\u201cE-MTAB-5589\u201d."}
+{"text": "Nature Communications 10.1038/s41467-019-12983-z, published online 01 November 2019.Correction to: The original version of this Article omitted the following from the last sentence of the Acknowledgements:UID/BIM/50005/2019, project funded by Funda\u00e7\u00e3o para a Ci\u00eancia e a Tecnologia (FCT)/ Minist\u00e9rio da Ci\u00eancia, Tecnologia e Ensino Superior (MCTES) through Fundos do Or\u00e7amento de Estado. This has now been corrected in both the PDF and HTML versions of the Article."}
+{"text": "Sci., 2016, 7, 2563\u20132571.Correction for \u2018Designed multi-stranded heme binding \u03b2-sheet peptides in membrane\u2019 by Areetha D'Souza The sentence \u201cDesigned peptides The Royal Society of Chemistry apologises for these errors and any consequent inconvenience to authors and readers."}
+{"text": "There is information missing from the Funding section. The phrase \u201cNational Science Centre grants 2016/23/P/NZ3/03730 (BUR)\u201d should be \u201cPOLONEZ Fellowship of National Science Centre, Poland, 2016/23/P/NZ3/03730. This project has received funding from the European Union\u2019s Horizon 2020 research and innovation programme under the Marie Sk\u0142odowska-Curie grant agreement No 665778 (BUR).\u201d."}
+{"text": "In the article titled \u201cCombination Therapy with EpCAM-CAR-NK-92 Cells and Regorafenib against Human Colorectal Cancer Models\u201d , there w"}
+{"text": "Scientific Reports 10.1038/s41598-018-28422-w, published online 03 July 2018Correction to: This Article contains an error in the Acknowledgements section.\u201cThe standard analysis file (JRDR-09004) was used for this study.\u201dshould read:\u201cThe standard analysis file (SAF-2016-010) was used for this study.\u201d"}
+{"text": "Yi Fan Chen's name appears incorrectly as Yi Fang Chen.In the article, \u201cCemented versus uncemented hemiarthroplasty for displaced femoral neck fractures: A meta-analysis of randomized controlled trails\u201d,"}
+{"text": "Correction to: BMC Genomicshttps://doi.org/10.1186/s12864-018-4943-zreads \u2013 ChIP-seq recovery yields diminishing returns with read depths greater than 60 million reads\u201d.The sub-heading \u201cFootprints increase linearly with reads \u2013 ChIP-seq recovery yields diminishing returns with read depths greater than 60 million readz\u201d should be \u201cFootprints increase linearly with area under the receiver operating characteristic curve), a measure of a predictor\u2019s ability to predict true positives, increased non-linearly as read depths increased .\u201dThe sentence \u201cROC AUC (area under the repeater operating characteristic curve), a measure of a predictor\u2019s ability to predict true positives, increased non-linearly as read depths increased \u201d should read \u201cROC AUC (Following the publication of this article , the aut"}
+{"text": "Smilax glabra Roxb. Attenuates Inflammatory Responses in Complete Freund's Adjuvant-Induced Arthritis Rats\u201d [In the article titled \u201cAstilbin fromis Rats\u201d , the aff"}
+{"text": "The article appeared previously in Volume 5 of Scientific Reports as \u201cHybrid surgery versus anterior cervical discectomy and fusion for multilevel cervical degenerative disc diseases: a meta-analysis.\u201dThe article, \u201cHybrid Surgery Versus Anterior Cervical Discectomy and Fusion in Multilevel Cervical Disc Diseases: A Meta-Analysis\u201d,"}
+{"text": "Scientific Reports 10.1038/s41598-019-39707-z, published online 27 February 2019Correction to: In Figure 4, the \u2018RCA-1 cleaned\u2019 and \u2018Solvent cleaned\u2019 plots are labelled incorrectly. The correct Figure\u00a04 appears below as Figure"}
+{"text": "Correction to: Parasites & Vectors (2016) 9:535DOI: 10.1186/s13071-016-1821-xDiscussion section, in the sentence \u201cFor example a microfilaricide, either ivermectin (50\u2013200 mg/kg) or milbemycin oxime \u201d.Since publication of the original version of this article , it has that the mg units in the sentence should instead be \u03bcg; that is, \u201cFor example a microfilaricide, either ivermectin (50\u2013200 \u03bcg/kg) or milbemycin oxime \u201d.Please be advised The authors apologize for any inconvenience caused."}
+{"text": "Scientific Reports 10.1038/s41598-018-30571-x, published online 17 August 2018Correction to: This Article contains typographical errors in the Acknowledgements section.\u201c\u201dshould read:\u201c\u201d"}
+{"text": "Scientific Reports 10.1038/s41598-017-03613-z, published online 16 June 2017Correction to: This Article contains typographical errors in the Results section under the subheading \u201cTheorem 3\u201d, whereshould read:andshould read:"}
+{"text": "Correction to:Journal of Experimental & Clinical Cancer Research(2018) 37:283.Doi 10.1186/s13046-018-0953-6In the caption of Fig.\u00a01c the sentence \u201cThe 20 most highly upregulated EBV BART miRNAs identified between NPC specimens and normal nasopharyngeal mucosal specimens\u201d should instead read \u201cThe highly upregulated EBV BART miRNAs identified between NPC specimens and normal nasopharyngeal mucosal specimens\u201d.In Fig.\u00a0Following publication of the original article , the aut"}
+{"text": "In the article titled \u201cA Lucky Accident: Brugada Syndrome Associated with Out-of-Hospital Cardiac Arrest\u201d , there w\u201cIn 1992, Pedro and Josep Brugada first described this autosomal dominant arrhythmia in a series of eight patients who suffered from VF arrest.\u201d"}
+{"text": "Trusted Server as an alternative approach that provides a sealed and inaccessible computational environment in a cryptographically strict sense. During operation or by direct physical access to storage media, data stored and processed inside the Trusted Server can by no means be read, manipulated or leaked, other than by brute-force. Thus, secure and privacy-compliant data processing or evaluation of plain person-related data becomes possible even from multiple sources, which want their data kept mutually secret.A growing framework of legal and ethical requirements limit scientific and commercial evaluation of personal data. Typically, pseudonymization, encryption, or methods of distributed computing try to protect individual privacy. However, computational infrastructures still depend on human system administrators. This introduces severe security risks and has strong impact on privacy: system administrators have unlimited access to the computers that they manage including encryption keys and pseudonymization-tables. Distributed computing and data obfuscation technologies reduce but do not eliminate the risk of privacy leakage by administrators. They produce higher implementation effort and possible data quality degradation. This paper proposes the This comprises person-identifying data , which privacy protection rules do address, as well as person-relatable information, which allow identifying a person by using re-identification techniques \u2003iptables -D INPUT 4\u2003## LIST IPTABLES\u2003iptables-save\u2003iptables -L \u2013n\u2003ip6tables-save\u2003ip6tables -L \u2013n\u2003cat /etc/hosts.allow\u2003cat /etc/hosts.deny\u2003## REMOVE SSH SERVER\u2003apt-get -y purge openssh-server\u2003apt-get -y autoremove\u2003systemctl status sshd\u2003## REMOVE ONLY LOGON USER - CREATES ERROR IF ALREADY CORRECTLY REMOVED\u2003userdel -f trust\u2003cat /etc/passwd\u2003cat /etc/shadow\u2003## REMOVE DISK ENCRYPTION KEY --\u2003cryptsetup luksErase /dev/sda2\u2003cryptsetup luksDump /dev/sda2\u2003## PRINT OLD VM KEY INFORMATION\u2003cryptsetup luksDump /dev/sdb2\u2003## AND REENCRYPT TS-VM DISK\u2003cryptsetup-reencrypt -v -d /mnt/keyfile -l 512 /dev/sdb2\u2003## PRINT NEW VM DISK KEY INFORMATION\u2003cryptsetup luksDump /dev/sdb2\u2003## CREATE ARCHIVES OF ETC AND ROOT FOR PUBLISHING\u2003zip -r /mnt/etc-host.zip\u2003 /etc\u2003zip -r /mnt/root-host.zip\u2003/root\u2003## LIST FILES AND SHA3 CHECKSUMS\u2003ls -RlA /\u2003rhash -r--sha3-512 /boot\u2003rhash -r--sha3-512 /etc\u2003rhash -r--sha3-512 /home\u2003rhash -r--sha3-512 /lib\u2003rhash -r--sha3-512 /lib64\u2003rhash -r--sha3-512 /lost+found\u2003rhash -r--sha3-512 /media\u2003rhash -r--sha3-512 /mnt\u2003rhash -r--sha3-512 /opt\u2003rhash -r--sha3-512 /root\u2003rhash -r--sha3-512 /sbin\u2003rhash -r--sha3-512 /srv\u2003rhash -r--sha3-512 /tmp\u2003## since /usr/bin has X11 -> . recursive link:\u2003rhash\u2003--sha3-512 /usr/bin/*\u2003rhash -r--sha3-512 /usr/games\u2003rhash -r--sha3-512 /usr/include\u2003rhash -r--sha3-512 /usr/lib\u2003rhash -r--sha3-512 /usr/local\u2003rhash -r--sha3-512 /usr/sbin\u2003rhash -r--sha3-512 /usr/share\u2003rhash -r--sha3-512 /usr/src\u2003rhash -r--sha3-512 /var\u2003## COPY LOG TO TS-VM BOOT PARTITION\u2003cp /root/0_init_trusted_mode_host.log /mnt\u2003## UNMOUNT TS-VM BOOT PARTITION\u2003umount /mnt\u2003## START TS-VM\u2003virsh start debian9cron-reboot.sh \u2003#!/bin/bash\u2003# cron-reboot TS-VM\u2003iptables-restore /home/trust/iptables.v4\u2003ip6tables-restore /home/trust/iptables.v6\u2003## INIT TRUSTED MODE AND CREATE VM SEALING LOG\u2003/home/trust/init_trusted_mode.sh > /var/www/log/1_init_trusted_mode.log 2>&1init_trusted_mode.sh \u2003set \u2013x\u2003## REMOVE HOST ACCESS PERMISSION AND VERIFY\u2003rm /etc/hosts.allow\u2003## SWITCH IPTABLES OUTGOING POLICY TO DROP AND DELETE SSH PERMISSION\u2003iptables -P OUTPUT DROP\u2003## [set line number accordingly:]\u2003iptables -D INPUT 5\u2003## LIST IPTABLES AND HOST ACCESS\u2003iptables-save\u2003iptables -L \u2013n\u2003ip6tables-save\u2003ip6tables -L \u2013n\u2003cat /etc/hosts.allow\u2003cat /etc/hosts.deny\u2003## REMOVE SSH SERVER\u2003apt-get -y purge openssh-server\u2003apt-get -y autoremove\u2003systemctl status sshd\u2003## REMOVE ONLY LOGON USER\u2003userdel -f trust\u2003cat /etc/passwd\u2003cat /etc/group\u2003cat /etc/shadow\u2003## REMOVE DISK ENCRYPTION KEY\u2003cryptsetup luksErase /dev/vda2\u2003cryptsetup luksDump /dev/vda2\u2003## MOVE HOST LOG AND ZIP TO WEBROOT\u2003mv /boot/0_init_trusted_mode_host.log /var/www/log\u2003mv /boot/etc-host.zip /var/www/log\u2003mv /boot/root-host.zip /var/www/log\u2003chown www-data:www-data /var/www\u2003## CREATE ARCHIVES OF /ETC AND /HOME/TRUST FOR PUBLISHING\u2003zip -r /var/www/log/etc-vm.zip\u2003/etc\u2003zip -r /var/www/log/trust-vm.zip /home/trust\u2003## CREATE LDAP LOG\u2003date >> /var/www/log/ldap.txt && slapcat -n 0 >> /var/www/log/ldap.txt && slapcat -n 1 >> /var/www/log/ldap.txt\u2003## SET PERMISSIONS TO APACHE2\u2003chown -R www-data:www-data /var/www\u2003## LIST FILES AND SHA3 CHECKSUMS\u2003ls -RlA /\u2003rhash -r--sha3-512 /boot\u2003rhash -r--sha3-512 /etc\u2003rhash -r--sha3-512 /home\u2003rhash -r--sha3-512 /lib\u2003rhash -r--sha3-512 /lib64\u2003rhash -r--sha3-512 /lost+found\u2003rhash -r--sha3-512 /media\u2003rhash -r--sha3-512 /mnt\u2003rhash -r--sha3-512 /opt\u2003rhash -r--sha3-512 /root\u2003rhash -r--sha3-512 /sbin\u2003rhash -r--sha3-512 /srv\u2003rhash -r--sha3-512 /tmp\u2003## since /usr/bin has X11 -> . recursive link:\u2003rhash\u2003--sha3-512 /usr/bin/*\u2003rhash -r--sha3-512 /usr/games\u2003rhash -r--sha3-512 /usr/include\u2003rhash -r--sha3-512 /usr/lib\u2003rhash -r--sha3-512 /usr/local\u2003rhash -r--sha3-512 /usr/sbin\u2003rhash -r--sha3-512 /usr/share\u2003rhash -r--sha3-512 /usr/src\u2003rhash -r--sha3-512 /var\u2003## ENABLE APACHE WEBSERVER\u2003systemctl start apache2\u2003## SEND MAIL\u2003echo $(date) >> /home/trust/date.txtbomhard@ibe.med.uni-muenchen.de <\u2003mail -s \"trusted server running@138.245.80.17\" \u2003home/trust/date.txtThe Trusted Server provides a new state-of-the-art regarding security and protection. Basic user authentication can be implemented using apache2's file based user- and password database. After TS sealing, no change to those files is possible except by permitting security-weakening file upload.Lightweight Directory Access Protocol (LDAP) .The standard CBH is a step function with jumps at each event time.Publishing the CBH in this form may allow to reidentify individual patients by observed event times. Therefore we use a smoothed form of the CBH which blurs observed event times. This deidentifying step is given in the code line www<-lowess. This is a very practical approach that needs more thinking in a real scenario.In the following we two R-scripts. The first R-script (plumber.R) starts the plumber server, which is remotely accessed over the apache2 proxy.plumber.R\u2003library(plumber)\u2003r <- plumb(\"<\u2026\u2025demo.R>\")\u2003r$run(port = 8000)The second script (demo.R) contains the analysis which mainly rely on three functions. The function getPacman attaches the library which manages the specific library attachments needed for the analysis. The function readDat concatenates the individual csv data files in the working directory to a common data object in R. The line with the hash mark before the evalrfc function is a decorator which can be interpreted by plumber defining the call the server should respond to. The function evalrfc provides the specific analysis data steps, returning the data that are responded, when the interface is called. After defining the functions, the script performs the following steps: attaching pacman, attaching the specific libraries over pacman and reading the data.The evaluation is started and results are provided by calling the URL: \"https://:/evalrfc\"demo.R\u2003\u2003getPacman <- function\u2003\u2003\u2003{\u2003\u2003\u2003\u2003if \u2003\u2003\u2003\u2003install.packages(\"pacman\")\u2003\u2003\u2003\u2003library(pacman)\u2003\u2003\u2003}\u2003readDat <- function(dir)\u2003\u2003\u2003{\u2003\u2003\u2003\u2003setwd(dir)\u2003\u2003\u2003\u2003all_files <- list.files\u2003\u2003\u2003\u2003dats <- lapply\u2003\u2003\u2003\u2003dat <- do.call\u2003\u2003\u2003\u2003return(dat)\u2003\u2003\u2003}\u2003#* @get /evalrfc\u2003evalrfc <- function\u2003\u2003\u2003{\u2003\u2003\u2003\u2003result <- mfp ~ fp + fp, family = cox, data = dat)\u2003\u2003\u2003\u2003coef <- summary(result)$coefficient\u2003\u2003\u2003\u2003haz <- basehaz(result)\u2003\u2003\u2003\u2003www<-lowess\u2003\u2003\u2003\u2003res <- list\u2003\u2003\u2003\u2003return(res)\u2003\u2003\u2003}\u2003getPacman\u2003p_load(mfp)dat <- readDat(\"path to data\")Any grade of privacy protection and security is relative. This of course is also valid for the TS. Its grade of protection depends on the quality and irrevocability of the Virtual Machine disk2 encryption. LUKS is cryptographically strong and withServer BIOS and the CPU-Microcode are closed source and potentially contain undocumented functions and backdoors. This implies that today\u2019s real-world computing hardware cannot achieve absolute trust-to-the-last.The cryptographic strength of encryption techniques for Solid-State-Disks (SSD) is currently under discussion . ExploitAfter testing and approval, the system administrators activate the initialization scripts. At that point the administrators could change binaries or add scripts in the physical host or Virtual Machine. This intervention could break security, for example by sending out the secret key and LUKS-header created during Virtual Machine disk reencryption.Thorough review of the published logs and comparison of the TS\u2019 state after installation and its state after sealing are crucial. The SHA-3 hashes and log files published on the TS\u2019s website allow to detect changes and to reveal most manipulations.For maximum trust, transparency and control, disk images should be crated immediately before the sealing is initialized and securely provided to the concerned parties. Ideally representatives of all parties personally attend the sealing and receive their disk images. Video self-surveillance of the TS and sealing process may be disclosed over the TS website, too.Remove Gnome Virtual File System and any other auto-mounters for external storage to prevent code injection from scripts running automatically when an external USB storage or CD/DVD is inserted and external ports are needed for some reason.Specific scenarios recommend to use means like hardening, creating custom kernels, to use SELinux or AppArmour. Applications installed on the Trusted Server need a careful internal security check, too.Disclosing a full disk image for review allows corrupting the SSL transport encryption by a man-in-the-middle attack , since tA Cold-Boot , DMA 2323 or remAdditional protection and security is achieved by using a server-vault or strongroom with strict access management.A physical self-destruction mechanism triggered by any human access to the server-vault may protect the TS even against the strongest attackers.Aside from added security by sealing, a Trusted Server shares all vulnerabilities and contact surfaces with a conventional server having an identical setup. Therefore, we recommend additional security measures:The TS overcomes human-centric paradigms in privacy protection concepts. All current approaches base on either trust or mistrust in single or multiple real persons. Accordingly, they establish either a network of trust, which spreads information over multiple semi-trusted instances of human-driven institutions or use complex computation schemes of fully encrypted data so nobody needs to trust anyone but himself or herself. Compared to standard non-privacy-protected solutions both approaches require highly customized workflows.The TS may request moderately prolonged downtimes for maintenance and changes. Compared to multi stage approaches this compensates by quick and easy setup as well as minimized workflow customization.The TS provides a conventional computational environment that grants Privacy by Design independently from any individual. Since the TS behaves\u2014despite self-sealing and irrevocable encryption\u2014like any standard GNU/Linux based system, it is possible to run well-established computational solutions with the highest degree of privacy."}
+{"text": "Erratum to: Indian J Pediatr 81(11):1237\u20131239DOI 10.1007/s12098\u2013014\u20131487-3The original published online version's copyright line has to be corrected as Open Access (see updated copyright line shown above). Open access statement is also included below."}
+{"text": "The following information is missing from the Funding statement: Dr. Zsuzsanna Izsv\u00e1k was funded by European Research Council-2011-ADG-TRANSPOSOstress\u2013 294742."}
+{"text": "Scientific Reports 10.1038/srep45525, published online 31 March 2017Correction to: This Article contains a typographical error in the Materials and Methods section under the subheading \u2018Experimental animals\u2019 where,\u201cThe doses of AT-RvD1 and EDX used in this study\u2026\u201dshould read:\u201cThe doses of AT-RvD1 and DEX used in this study\u2026\u201d"}
+{"text": "Scientific Reports 10.1038/s41598-019-44290-4, published online 28 May 2019Correction to: This Article contains errors in Table 1. In column 17 \u2018Ref.\u2019, all instances of \u20181\u2019 should read \u201810\u2019. In addition, all instances of \u20182\u2019 should read \u20186\u2019.As a result, in the legend for Table 1,et al. 2002 (1) and Dartnall et al. 2017 (2)\u2019\u2018Presence/absence matrix of crustacean taxa in lakes of each study region based on Pugh should read:et al. 2002 (10) and Dartnall et al. 2017 (6).\u2019\u2018Presence/absence matrix of crustacean taxa in lakes of each study region based on Pugh The correct Table"}
+{"text": "The authors\u2019 names should appear as Ofer Kobo, Ronit Leiba, Ophir Avizohar and Amir Karban.In the article, \u201cNormal body mass index (BMI) can rule out metabolic syndrome: An Israeli cohort study\u201d,"}
+{"text": "Scientific Reports 10.1038/s41598-018-20422-0, published online 31 January 2018Correction to: The Acknowledgements section in this Article was omitted. The Acknowledgements section should read:\u201cThis research is supported by funding agency FAPDF.\u201d"}
+{"text": "In the article titled \u201cEffects of Electroacupuncture on Methamphetamine-Induced Behavioral Changes in Mice\u201d , there w"}
+{"text": "Scientific Reports 10.1038/s41598-019-47857-3, published online 07 August 2019Correction to: The Article contains an error on the second line of Table 2 where \u201cIn-Threshold Reads/pore/min\u201dshould read:\u201cIn-Threshold Reads/min\u201d"}
+{"text": "Correction to: Mobile DNAhttps://doi.org/10.1186/s13100-019-0186-zt-test pvalue in penultimate row\u2009=\u2009\u201c0.61\u201d should not be boldthe asterisks with significance levels should be as follows: \u201c\u201dFollowing publication of the original article , the autThe original article has been corrected. The correct presentation of Table"}
+{"text": "Scientific Reports 10.1038/s41598-018-32520-0, published online 24 September 2018Correction to: This Article contains an error in the Y axis of Figure 5, where \u2018LIPSS height (\u03bcm)\u2019 should read \u2018LIPSS height (nm)\u2019. The correct Figure 5 appears below as Figure"}
+{"text": "Scientific Reports 10.1038/s41598-017-13621-8, published online 12 October 2017Correction to: This Article contains typographical errors in the Acknowledgements section.\u201cThis study was supported by the UNAM grant IN201814 (ST),\u201dshould read:\u201cThis study was supported by the UNAM grant IN209317 (ST),\u201d"}
+{"text": "Due to a production error, an author name was misspelled. \u201cArbereska Bexheti-Ferati\u201d should be \u201cArb\u00ebresha Bexheti-Ferati.\u201dThe publisher apologizes for this mistake. The original article has been updated."}
+{"text": "Correction to: BMC Public Healthhttps://doi.org/10.1186/s12889-019-7322-zn\u2009=\u20099949 but the correct number is n\u2009=\u20099936. This Correction article shows the correct Fig.\u00a0It was highlighted that the original article containe"}
+{"text": "Scientific Reports 10.1038/s41598-019-40092-w, published online 01 March 2019Correction to: The original version of this Article and the accompanying Supplementary Information file contained a repeated error where,\u201cLifeact-GFP\u201dnow reads:\u201cLifeact-TagGFP2\u201d"}
+{"text": "January issue of 2019, vol. 112(1), pages 67-75In \u201cSex-Related Effects of Prenatal Stress on Region-Specific Expression of MonoamineOxidase A and B Adrenergic Receptors in Rat Hearts\u201d, consider Tanja Jevdjovic as thecorrect form for the name of the author Tanja Jevjdovic.January issue of 2019, vol. 112(1), pages 91-103In \u201cArrhythmogenic Right Ventricular Cardiomyopathy/Dysplasia (ARVC/D) - What We HaveLearned after 40 Years of the Diagnosis of This Clinical Entity\u201d, table 1 of thePortuguese version, item \u201c5. Arritmias\u201d, consider correct for the phrase \u201cTV n\u00e3osustentada ou sustentada com morfologia tipo BRD e eixo superior\u201d BRE in place ofBRD."}
+{"text": "MMWR Morb Mortal Wkly Rep 2018;67:465\u20139.\u201dThe second reference should have read \u201cCase SL, Lincoln JM, Lucas DL. Fatal falls overboard in commercial fishing\u2014United States,"}
+{"text": "Coronary angiography excluded stenotic lesions. A\u00a0wrap-around left anterior descending (LAD) with myocardial bridging in the mid-segment was observed Video\u00a02: IVUS demonstrating systolic compression of the mid-LAD with a minimum lumen area oscillating from 3.06\u202fmmVideo\u00a03: Left ventricular (LV) angiography revealing typical mid-apical ballooning with hypercontractility of the basal segmentsVideo\u00a04: Follow-up Echocardiography illustrating restoration of left ventricular function"}
+{"text": "In addition, clinical studies described that Parkinson's symptoms were notably worse after the onset of T2DM, and seven deregulated genes were identified in the DNA of T2DM and PD patients. Regarding treatment, the action of antidiabetic drugs, especially incretin mimetic agents, seems to confer certain degree of neuroprotection to PD patients. In conclusion, the available evidence on the interaction between T2DM and PD justifies more robust clinical trials exploring this interaction especially the clinical management of patients with both conditions.In the early sixties, a discussion started regarding the association between Parkinson's disease (PD) and type II diabetes mellitus (T2DM). Today, this potential relationship is still a matter of debate. This review aims to analyze both diseases concerning causal relationships and treatments. A total of 104 articles were found, and studies on animal and \u201cin vitro\u201d models showed that T2DM causes neurological alterations that may be associated with PD, such as deregulation of the dopaminergic system, a decrease in the expression of peroxisome proliferator-activated receptor-gamma coactivator-1 These factors impair insulin release and consequently cause hyperglycemia ) AND \u201cDiabetes Mellitus\u201d[Mesh],\u201d \u201c(\u201cParkinson Disease\u201d[Mesh]) AND \u201cInsulin Resistance\u201d[Mesh],\u201d \u201c AND \u201cDiabetes Mellitus\u201d[Mesh],\u201d \u201c AND \u201cInsulin Resistance\u201d[Mesh],\u201d \u201c(\u201cIslet Amyloid Polypeptide\u201d[Mesh]) AND \u201cParkinson Disease\u201d[Mesh],\u201d \u201c(\u201cMetformin\u201d[Mesh]) AND \u201cParkinson Disease\u201d[Mesh],\u201d \u201c(\u201cSulfonylurea Compounds\u201d[Mesh]) AND \u201cParkinson Disease\u201d[Mesh],\u201d \u201c(\u201cThiazolidinediones\u201d[Mesh:NoExp]) AND \u201cParkinson Disease\u201d[Mesh],\u201d \u201c(\u201cGlucagon-Like Peptide 1\u201d[Mesh]) AND \u201cParkinson Disease\u201d[Mesh],\u201d \u201c(\u201cBromocriptine\u201d[Mesh:NoExp]) AND \u201cDiabetes Mellitus\u201d[Mesh],\u201d \u201c(\u201cExenatide\u201d[Mesh:NoExp]) AND \u201cParkinsonian Disorders\u201d[Mesh],\u201d \u201c(\u201cLevodopa\u201d[Mesh]) AND \u201cDiabetes Mellitus\u201d[Mesh],\u201d \u201c(\u201cDipeptidyl-Peptidase IV Inhibitors\u201d[Mesh]) AND \u201cParkinson Disease\u201d[Mesh]\u201d, \u201c(\u201cSodium-Glucose Transporter 2 Inhibitors\u201d[Mesh]) AND \u201cParkinson Disease\u201d[Mesh].\u201d Letters, reviews, and articles in languages other than English were excluded.The review was based on the analysis of studies retrieved via PubMed up to September, 2019. Articles were screened according to the following eligibility criteria: original articles describing the relationship between PD and T2DM, unrelated to any other disease, using A total of 627 articles were found . Among tPGC-1\u03b1 (peroxisome proliferator-activated receptor-gamma coactivator-1\u03b1) , decrease in the expression of PGC-1\u03b1 (peroxisome proliferator-activated receptor-gamma coactivator-1\u03b1) [On the other hand, we also found pathophysiological components of T2DM that could lead to PD such as metabolic inflammation , downregator-1\u03b1) \u201339, incrator-1\u03b1) , increasator-1\u03b1) , 42, andator-1\u03b1) .Many studies evaluated the use of MPTP in diabetic rats to analyze the pathophysiological interaction between both diseases. The use of MPTP in diabetic rats resulted not only an accelerated loss of dopaminergic neurons and the activation of glial cells in the substantia nigra but also an increase in the activation of inflammatory molecules, including NLRP3 and alpha-synuclein aggregates in the pancreas and in the brain. In addition, the endoplasmic reticulum stress markers CHOP and GRP78 were positively regulated in the pancreas, liver, and brain of mice with T2DM . TherefoFuthermore, it was observed that insulin regulates dopamine synthesis and uptake within the substantia nigra . Some stPGC-1\u03b1, a regulator of enzymes involved in mitochondrial respiration, shows reduced expression [PGC-1\u03b1 is repressed by PARIS (ZNF746), a protein that causes neurodegeneration in PD due to parkin inactivation [PGC-1\u03b1 protects against the destruction of dopaminergic neurons [In insulin resistance, the gene pression , 39. Addtivation . Many re neurons , 38. As Another pathophysiological mechanism in T2DM is the protein PED/PEA-15. This protein is increased in many cells in T2DM patients. A recent study showed that rats overexpressing this protein had a reduction in dopaminergic activity, a fact that may induce the development of PD .One recent association between PD and T2DM is the ADTIQ and its precursor methylglyoxal (a subproduct of glucose metabolism that is increased in diabetic patients) . ADTIQ wFinally, the formation of alpha-synuclein aggregates can be observed in PD, whereas pancreatic amyloid plaques formed by the pancreatic islet amyloid polypeptide (IAPP) are present in T2DM. In one study, it was noted that the speed of alpha-synuclein aggregation is higher when it interacts with IAPP , thus shBiguanides (metformin) activate the AMP-activated kinase protein (AMPK) responsiSulphonylureas stimulate insulin release by inhibiting the ATP-sensitive K+ (K ATP) channel of pancreatic beta-cells resulting in the closure of the potassium channels and opening of calcium channels . HoweverPGC-1\u03b1, plasma interleukin 6, and urine 8-hydroxydeoxyguanosine [Several studies investigated the effect of thiazolidinediones (pioglitazone and rosiglitazone) in the treatment of PD , 109\u2013122uanosine . However\u03b2-cell lymphoma 2), which prevented apoptosis and reduced chronic brain inflammation [Incretin mimetics drugs (GLP-1/GIP agonists and DPP-4 inhibitors) activate glucagon-like peptide-1 (GLP-1) or glucose-dependent insulinotropic polypeptide (GIP) receptors on pancreatic beta-cells stimulating insulin secretion and synthesis , 166. Thammation , 103. Fiammation . This drammation \u2013106 explammation , and theammation . Moreoveammation . Hence, A relationship between T2DM and L-dopa therapy , 73 and \u03b1 (PGC-1\u03b1), an increase in the expression of phosphoprotein enriched in diabetes/phosphoprotein enriched in astrocytes 15 (PED/PEA-15), and neuroinflammation, as well as acceleration of the formation of alpha-synuclein amyloid fibrils. Epidemiological studies suggested that T2DM increases the risks of PD. In addition, clinical studies described that Parkinson's symptoms were notably worse after the onset of T2DM. Regarding treatment, the action of antidiabetic drugs, especially incretin mimetic agents, seems to confer a certain degree of neuroprotection to PD patients. In conclusion, the available evidence on the interaction between T2DM and PD justifies more robust clinical trials exploring this interaction especially the clinical management of patients with both conditions.\u201cIn vitro\u201d and animal studies suggest that T2DM causes neurological alterations that may be associated with PD, such as deregulation of the dopaminergic system, a decrease in the expression of peroxisome proliferator-activated receptor-gamma coactivator-1"}
+{"text": "In the article titled \u201cHypophyseal Involvement in Immunoglobulin G4-Related Disease: A Retrospective Study from a Single Tertiary Center\u201d , the fir"}
+{"text": "Correction to: Trials (2018) 19:487https://doi.org/10.1186/s13063-018-2860-8Peripheral and neural biomarkers and genotype section was incorrectly phrased during editing. \u201c4 weeks of treatment (four active ABCR sessions twice a week or control group sessions twice a week)\u201d should have actually been described as \u201ctwo weeks of treatment \u201d.Following publication of the original article , the aut"}
+{"text": "Scientific Reports 10.1038/s41598-017-13892-1, published online 19 October 2017Correction to: The Supplementary material \u2018Risk calculators\u2019 that accompanies this Article contains an error in the \u20188-factor model\u2019 tab, where \u201cWake up several times per night\u201d should read \u201cDifficulty falling asleep\u201d."}
+{"text": "Scientific Reports 10.1038/srep43478, published online 03 March 2017Correction to: This Article contains an error in Figure 3b, where the y-axis label \u2018Hb (mg/ml)\u2019 is incorrectly given as \u2018Hb (mg/dl)\u2019. The correct Figure 3 appears below as Figure"}
+{"text": "Acinetobacter baumannii Bacteremia in Southwest China: A Five-Year Case-Control Study\u201d [In the article titled \u201cDeterminants of Mortality in Patients with Nosocomial l Study\u201d , there w"}
+{"text": "Scientific Reports 10.1038/s41598-019-49723-8, published online 18 September 2019Correction to: This Article contains typographical errors in the methods section, where:should read:In addition,should read:Additionally, in Figures 4 and 5 the following annotation \u201cSpearman\u2019s rho\u2009=\u2009\u2026 \u201d was incorrectly included.The correct Figures 4 and 5 appear below as Figures"}
+{"text": "In the article titled \u201cVitamin D-Binding Protein Clearance Ratio Is Significantly Associated with Glycemic Status and Diabetes Complications in a Predominantly Vitamin D-Deficient Population\u201d , the men"}
+{"text": "China (e-mail"}
+{"text": "Scientific Reports 10.1038/s41598-017-05029-1, published online 06 July 2017Correction to: The Acknowledgements section in this Article is incomplete.Advokat Bent Thorbergs Fond.\u201d\u201cThe authors thank Camilla Sk\u00e5nstr\u00f8m Dall and Tina Maria Estrup Axen for technical assistance. This project was supported by should read:Advokat Bent Thorbergs Fond. This project has received funding from the European Union\u2019s Horizon 2020 research and innovation programme under the Marie Sk\u0142odowska-Curie grant agreement No 642720.\u201d\u201cThe authors thank Camilla Sk\u00e5nstr\u00f8m Dall and Tina Maria Estrup Axen for technical assistance. This project was supported by"}
+{"text": "Scientific Report 10.1038/s41598-019-46095-x, published online 05 July 2019Correction to: In Figure 3(a) and (b), the x-axes are labelled wrong, where \u2018Frequency (THz)\u2019 should read \u2018Time (ps)\u2019. The correct Figure 3 appears below as Figure"}
+{"text": "Scientific Reports 10.1038/s41598-019-40399-8, published online 07 March 2019Correction to: This Article contains errors in the Methods section, under subsection \u2018Samples collection and genotyping\u2019.\u201cAll genotyped data will be made publicly available on the ebc.ee/free_data website and NCBI-GEO public repository (accession number XXXX)\u201d.should read:\u201cAll genotyped data will be made publicly available on the ebc.ee/free_data website and NCBI-GEO public repository (accession number GSE126882)\u201d."}
+{"text": "I have read the article \u201cBladder Cancer Specific Nuclear Matrix Proteins-4 May Be a Potential Biomarker for Non-Muscle-Invasive Bladder Cancer Detection\u201d with great interest . The art"}
+{"text": "Nature Communications 10.1038/s41467-019-09215-9, published online 19 March 2019.Correction to: +\u2019 and \u2018NADPH + H+\u2019 were incorrectly given as \u2018NADPH\u2019 and \u2018NADPH+ + H+\u2019, respectively. This has been corrected in both the PDF and HTML versions of the Article.The original version of this Article contained an error in Fig.\u00a01, in which the labels \u2018NADP"}
+{"text": "Scientific Reports 10.1038/s41598-019-49413-5, published online 12 September 2019Correction to: This Article contains errors.The Competing Interests section in this Article is incorrect and should read:\u201cThe authors are employed by The Ocean Cleanup, a non-for-profit organization that develops technology to rid the oceans of plastic.\u201dIn addition, the text for several equations is incorrect; Equation 6,\u201cshould read:\u201cThe text for Equation 7,\u201cshould read:\u201cThe text for Equation 8,\u201cshould read:\u201c"}
+{"text": "Nature Communications; 10.1038/s41467-018-07025-z; published online 7 November 2018Correction to: The original version of this Article contained an error in Fig.\u00a07. In panel c, the lanes of the western blots were incorrectly labelled \u2018+/+ +/+ \u2212/\u2212 \u2212/\u2212 +/+ +/+ \u2212/\u2212 \u2212/\u2212\u2019. This has been corrected in both the PDF and HTML versions of the Article."}
+{"text": "In the article titled \u201cInducible Conditional Vascular-Specific Overexpression of Peroxisome Proliferator-Activated Receptor Beta/Delta Leads to Rapid Cardiac Hypertrophy\u201d , there a"}
+{"text": "Scientific Reports 10.1038/s41598-018-35083-2, published online 16 November 2018Correction to: This Article contains a typographical error in the Results and Discussion section under subheading \u2018Identification and suggested fragmentation of verbascoside\u2019 where,29H35O15)\u2212 for VER [M-H]\u2212 structure whereas characteristic ion peak of the phenyl propanoid moiety recognized at m/z 161 [caffeic acid-H-H2O]\u2212 was due to loss of H2O from caffeic acid at m/z 179 [C9H7O4]\u2212 and the ion peak at m/z 461 represents [M-H-hexose sugar]\u2212 due to loss of a hexose sugar (\u2212162\u2009amu)25\u201327\u201d\u201cThe presence of molecular ion at m/z 623 (Cshould read:29H35O15)\u2212 for VER [M-H]\u2212 structure whereas characteristic ion peak of the phenyl propanoid moiety recognized at m/z 161 [caffeic acid-H-H2O]\u2212 was due to loss of H2O from caffeic acid at m/z 179 [C9H7O4]\u2212 and the ion peak at m/z 461 represents [M-H-Caffeoyl moiety]\u2212 due to loss of a Caffeoyl moiety (\u2212162\u2009amu)25\u201327\u201d\u201cThe presence of molecular ion at m/z 623 (CAdditionally, in Figure 3, the label on the peak is incorrectly labelled as \u201c[M-H-caffaeoyl-rhamnose]\u201d. The correct Figure 3 appears below as Figure"}
+{"text": "Scientific Reports 10.1038/s41598-017-11885-8, published online 14 September 2017Correction to: In the original version of this Article, all instances of \u201cTGF-\u03b21\u201d were incorrectly written as \u201cTGF-\u00e21\u201d.These errors have now been corrected in the HTML and PDF versions of the Article."}
+{"text": "Scientific Reports 10.1038/s41598-017-16730-6, published online 12 December 2017Correction to: The Article contains an error in Table 2. The heading:#\u201d\u201cGrade of allergic reaction at DBPCFCshould read:\u201cGrade of allergic reaction at OFC\u201d.Additionally, in Table 3, there are errors present in the \u201cCharacteristics\u201d column, where \u201c(IQR)\u201d is incorrectly labelled as \u201c(IRQ)\u201d"}
+{"text": "Figure In the article, \u201cParecoxib prevents early postoperative cognitive dysfunction in elderly patients undergoing total knee arthroplasty: A double-blind, randomized clinical consort study\u201d,"}
+{"text": "Wen-Yuan Ding should not appear as a corresponding author. The only corresponding author is Dr. Chun-Ming Zhao.In the article, \u201cAnterior cervical discectomy and fusion versus hybrid surgery in multilevel cervical spondylotic myelopathy: A meta-analysis\u201d,"}
+{"text": "Scientific Reports 10.1038/s41598-019-50686-z, published online 09 October 2019Correction to: This Article contains errors in Table 2 where the reported table heading was incorrect. The correct heading should read \u201cPredicted\\Actual\u201d."}
+{"text": "C. Roberto Simons-Linares appears incorrectly as Simons-Linares C. Roberto.In the article, \u201cAssociation between cannabis use and complications related to ulcerative colitis in hospitalized patients: A propensity matched retrospective cohort study\u201d,"}
+{"text": "Scientific Reports 10.1038/s41598-019-39748-4, published online 07 March 2019Correction to: The original version of this Article contained a repeated typographical error in the Abstract and Introduction where,Aedes aegpyti\u201d\u201cnow reads:Aedes aegypti\u201d\u201cThis error has now been corrected in the PDF and HTML versions of the Article."}
+{"text": "Syzygium cumini (L.) Skeels Leaf on Oxidative Stress-Induced Diabetic Rats\u201d [In the article titled \u201cProtective Effects of a Polyphenol-Rich Extract from ic Rats\u201d , the sec"}
+{"text": "Correction to:Translational Psychiatry10.1038/s41398-019-0538-y published online 20 August 2019In the original article, author Shouguo Gao\u2019s name was incorrectly stated as \u201cShuoguo Gao.\u201d This has been updated in the XML, HTML, and PDF versions of this article."}
+{"text": "In the article titled \u201cA Novel Curcumin-Galactomannoside Complex Delivery System Improves Hepatic Function Markers in Chronic Alcoholics: A Double-Blinded, randomized, Placebo-Controlled Study\u201d , the dos"}
+{"text": "In the article titled \u201cErbium-Based Perfusion Contrast Agent for Small-Animal Microvessel Imaging\u201d, there w"}
+{"text": "Correction to: CVIR Endovaschttps://doi.org/10.1186/s42155-018-0007-3In the published article (Zvavanjanja \u201cRetrospective anonymized and no patient photos therefore no institutional requirement.\u201dshould read:\u201cInformed consent for publication of this case report and its accompanying images has been obtained from the patient\u201d"}
+{"text": "In the article titled \u201cInhibitory Effects of Momordicine I on High-Glucose-Induced Cell Proliferation and Collagen Synthesis in Rat Cardiac Fibroblasts\u201d , there w"}
+{"text": "Correction to: British Journal of Cancer (2018) 119, 282\u2013290; 10.1038/s41416-018-0169-8; published online 11 July 2018.P-value columns which should have appeared below the heading \u2018Late sequelae independent of recurrent timepoint\u2018 have erroneously been listed under the \u2018Late sequelae before recurrence\u2018 heading. The correct format of Table\u00a0The authors have noticed in Table"}
+{"text": "In the article titled \u201cCombinatorial Cytotoxic Effects of Gelam Honey and 5-Fluorouracil against Human Adenocarcinoma Colon Cancer HT-29 Cells In Vitro\u201d , the nam"}
+{"text": "The corrected figure is shown below.In the article \u201cAnti-Interleukin-22-Neutralizing Antibody Attenuates Angiotensin II-Induced Cardiac Hypertrophy in Mice\u201d , there w"}
+{"text": "Results in the original paper cannot bWeb of Science (WoS) includesWeb of Science Core CollectionData Citation IndexCurrent Contents Connect\u00ae Citation IndexBIOSIS\u00aeBiological AbstractsCABIChinese Science Citation DatabaseFSTA\u00aeInspec\u00aeMEDLINESciELO Citation Index\u00aeZoological RecordDerwent Innovations IndexJournal Citation ReportsEssential Science IndicatorsWeb of Science Core Collection includesScience Citation Index Expanded (SCI-EXPANDED)Social Sciences Citation Index (SSCI)Arts and Humanities Citation Index (A&HCI)Conference Proceedings Citation Index\u2014Science (CPCI-S)Conference Proceedings Citation Index\u2014Social Science & Humanities (CPCI-SSH)Book Citation Index\u2014Science (BKCI-S)Book Citation Index\u2014Social Sciences & Humanities (BKCI-SSH)Emerging Sources Citation Index (ESCI)Web of Science Core Collection: Chemical Indexes include:Current Chemical Reactions (CCR-EXPANDED)Index Chemicus (IC)http://wokinfo.com/products_tools/multidisciplinary/esci/). Web of Science Core Collection: chemical indexes as well as SSCI, A&HCI, ESCI, CPCI-S CPCI-SSH, BKCI-S, and BKCI-SSH are inappropriate for \u201cTrends and development in enteral nutrition application for ventilator associated pneumonia: a scientometric research study (1996\u20132018)\u201d complements the highly selective indexes by providing earlier visibility for sources under evaluation as part of SCIE, SSCI, and A&HCI\u2019s rigorous journal selection process (6\u20132018)\u201d .One appropriate method is to use SCI-EXPANDED with searching keywords (\u201cventilator-associated pneumonia\u201d or \u201cventilator-acquired pneumonia\u201d) and from 1996 to 2018. Language of \u201cEnglish\u201d and document type of \u201carticle\u201d were considered. This method resulted in 109 articles in SCI-EXPANDED. The SCI-EXPANDED is designed for researchers to find published literatures, not used for bibliometric studies .KeyWords Plus, were irrelevant to \u201centeral nutrition application for ventilator associated pneumonia\u201d had search keywords in their \u201cfront page\u201d while 35 articles (32%) and 24 articles (22%) did not include (\u201cventilator-associated pneumonia\u201d or \u201cventilator-acquired pneumonia\u201d) and \u201centeral nutrition\u201d in their \u201cfront page,\u201d respectively. For example, highly cited review with 100 or more total citations from Web of Science Core Collection since publication to the end of 2017 (TC7 \u2265 100) , \u201cIncide7 \u2265 100) , did not7 \u2265 100) did not 7 \u2265 100) did not 7 \u2265 100) . Similar7 \u2265 100) , Renewab7 \u2265 100) , and Jou7 \u2265 100) in previY-SH confirms being the sole contributor of this manuscript.The author declares that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "In the article titled \u201cYokukansan Alleviates Cancer Pain by Suppressing Matrix Metalloproteinase-9 in a Mouse Bone Metastasis Model\u201d , there w"}
+{"text": "Scientific Reports 10.1038/s41598-018-32907-z, published online 01 October 2018Correction to: The Acknowledgements section in this Article is incomplete.\u201cL. Freire acknowledges the financial support of S\u00e3o Paulo Research Foundation: Grant # 2016/21041-5, S\u00e3o Paulo Research Foundation (FAPESP). The authors acknowledge the Culture Collection of the Department of Food Science/CCDCA-UFLA for the donation of fungi strains used in this study. The authors are also thankful to Conselho Nacional de Desenvolvimento Cientifico e Tecnol\u00f3gico (CNPq) (Grant # 302763/2014-7). This study was financed in part by the Coordena\u00e7\u00e3o de Aperfei\u00e7oamento de Pessoal de N\u00edvel Superior - Brasil (CAPES) - Finance Code 001\u201d.should read:\u201cL. Freire acknowledges the financial support of S\u00e3o Paulo Research Foundation: Grant # 2016/21041-5, S\u00e3o Paulo Research Foundation (FAPESP). The authors acknowledge the Culture Collection of the Department of Food Science/CCDCA-UFLA for the donation of fungi strains used in this study. The authors are also thankful to Conselho Nacional de Desenvolvimento Cientifico e Tecnol\u00f3gico (CNPq) (Grant # 302763/2014-7). This study was financed in part by the Coordena\u00e7\u00e3o de Aperfei\u00e7oamento de Pessoal de N\u00edvel Superior - Brasil (CAPES) - Finance Code 001. ASS acknowledges the support of FAPESP (grant #2018/19341-6)\u201d."}
+{"text": "Scientific Reports 10.1038/s41598-019-41109-0, published online 18 March 2019Correction to: p-values recorded for the \u2018Daily average temperature column\u2019 are incorrectly placed under the \u2018Daily maximum temperature\u2019 column. The correct Table 4 appears below as Table\u00a0This Article contains an error in Table 4. The"}
+{"text": "There are typographical errors in the fourth and fifth sentences of the Abstract. \u201cIFN-\u03bc\u201d should appear as \u201cIFN-\u03b3.\u201d The correct sentences are: However, to confirm whether a multivalent vaccine can induce an individual epitope-specific CTL, the only viable screening strategies currently available are interferon-gamma (IFN-\u03b3 enzyme-linked immunospot (ELISPOT) assays using human peripheral blood mononuclear cells, or expensive human leukocyte antigen (HLA)-expressing mice. In this report, we evaluated the use of our developed murine-20S immunoproteasome (i20S) digestion assay and found that it could predict the results of IFN-\u03b3 ELISPOT assays.There is a typographical error in the Abbreviations. \u201cIFN-\u03bc\u039b, interferon-gamma\u201d should appear as \u201cIFN-\u03b3, interferon-gamma.\u201d"}
+{"text": "The following information is missing from the Funding statement: Dr. Zsuzsanna Izsv\u00e1k was funded by European Research Council-2011-ADG-TRANSPOSOstress\u2013 294742."}
+{"text": "Correction to: BMC Cardiovasc Disordhttps://doi.org/10.1186/s12872-019-1076-5\u2022 Originally published name:Ma\u0142gorzta Kabat\u2022 Corrected name:Ma\u0142gorzata KabatAfter publication of the original article , the aut"}
+{"text": "Nature Communications 10.1038/s41467-019-12499-6, published online 15 October 2019.Correction to: The original version of the published article had an error in the abstract, which originally stated \u201cyield a fourfold higher likelihood of epidemics\u201d. This has been corrected to \u201cyield a 1.63-fold higher likelihood of epidemics\u201d."}
+{"text": "Correction: BMC Med Res Methodol (2019) 19:129https://doi.org/10.1186/s12874-019-0754-4p-values pj are multiplied by the number of primary outcome\u201d in the Methods section, and should be deleted.In the original publication of this article , \u201c=1\u2009\u2212\u2009\u2009The original article has been corrected."}
+{"text": "Requests should be sent to pmimages@fas.harvard.edu.\u201d This article has been corrected.1In the Research Letter titled \u201cAtherosclerosis in 16th-Century Greenlandic Inuit Mummies,\u201d"}
+{"text": "In the article titled \u201cTotal Intravenous Anaesthesia with High-Dose Remifentanil Does Not Aggravate Postoperative Nausea and Vomiting and Pain, Compared with Low-Dose Remifentanil: A Double-Blind and Randomized Trial\u201d , there w"}
+{"text": "Correction to: Journal of Applied Genetics (2018) 59:281\u201328910.1007/s13353-018-0447-4This article was originally published electronically on 29 May 2018 with incorrect copyright line in the Publisher\u2019s internet portal (currently SpringerLink). The copyright line of the article should be \u201c\u00a9 The Author (s) 2018\u201d."}
+{"text": "Scientific Reports 10.1038/s41598-018-23978-z, published online 04 April 2018Correction to: This Article contains an error in the Results section under the subheading \u2018Performance comparison among call methods using simulation data\u2019.de novo assembly (Inchworm) did not work well (Table S3).\u201d\u201cWe found that when the insertions were \u22652\u2009bp length and contained repetitive sequence from the flanking region, should read:de novo assembly (Inchworm) did not work well (Table S3).\u201d\u201cWe found that when the insertions were \u226525\u2009bp length and contained repetitive sequence from the flanking region,"}
+{"text": "B, Correlation between rBAT-ASL and rTTP-DSC in all the 132 ROIs of lateral MCA territories and BG. rCBF-ASL\u200a=\u200arelative cerebral blood flow-arterial spin labeling, DSC\u200a=\u200adynamic susceptibility contrast, ROI\u200a=\u200aregion of interest, MCA\u200a=\u200amiddle cerebral artery, BG\u200a=\u200abasal ganglia.\u201dIn the article, \u201cComparative study of MR mTI-ASL and DSC-PWI in evaluating cerebral hemodynamics of patients with Moyamoya disease\u201d,"}
+{"text": "Correction to: BMC Pediatr (2019) 19:346https://doi.org/10.1186/s12887-019-1724-zAfter publication of the original article , it was Reference \u2018\u2019 (see reWhile reference \u2018\u2019 (see reThe authors apologize for any inconvenience caused."}
+{"text": "Nature Communications 10.1038/s41467-018-03942-1; published online 16 April 2018Correction to: In the originally published version of this article, the affiliation details for Hugo Mu\u00f1oz-Hern\u00e1ndez, Carlos F. Rodr\u00edguez and Oscar Llorca incorrectly omitted \u2018Centro de Investigaciones Biol\u00f3gicas (CIB), Spanish National Research Council (CSIC), Ramiro de Maeztu 9, 28040 Madrid, Spain\u2019. This has now been corrected in both the PDF and HTML versions of the Article."}
+{"text": "Nature Communications 10.1038/s41467-018-03696-w; published online 10 April 2018Correction to: The original version of this Article contained an error in Equation (1), which incorrectly read \u201cThe correct version reads \u201c"}
+{"text": "Scientific Reports 10.1038/s41598-018-35347-x, published online 21 November 2018Correction to: The original version of this Article contained errors.Due to a typesetting error, Table\u00a0In addition, in Table 2 the headings \u201cWestern Mediterranean\u201d and \u201cEastern Mediterranean\u201d were reversed.These errors have now been corrected in the PDF and HTML versions of the Article."}
+{"text": "Correction to: International Journal of Behavioral Nutrition and Physical Activity (2018) 15:126https://doi.org/10.1186/s12966-018-0756-3Following publication of the original article , the autreduced BMI over a 5-year period.\u201dIncorrect statement in published article: \u201cOn the other hand, a shorter time spent in MVPA predicted a increased BMI over a 5-year period.\u201dCorrected statement: \u201cOn the other hand, a shorter time spent in MVPA predicted an"}
+{"text": "Scientific Reports 10.1038/s41598-018-19671-w, published online 22 January 2018Correction to: This Article contains an error in Figure 3b where the blue bars for \u2018Th\u2019 are incorrectly marked as \u2018Tr\u2019. The correct Figure 3 appears below as Figure"}
+{"text": "In the article titled \u201cAre All Oral COX-2 Selective Inhibitors the Same? A Consideration of Celecoxib, Etoricoxib, and Diclofenac\u201d , there w"}
+{"text": "In the article titled \u201cSevere Drug-Induced Agranulocytosis Successfully Treated with Recombinant Human Granulocyte Colony-Stimulating Factor\u201d , the sec"}
+{"text": "Communications Biology 10.1038/s42003-019-0509-0, published online 11 July 2019.Correction to: \u201cAll reporter plasmids have a low-copy SC101 origin of replication with a kanamycin resistance cassette and a promoter transcriptionally controlling the gene for CFP.\u201d This has been corrected to: \u201cAll reporter plasmids have a kanamycin resistance cassette and a promoter transcriptionally controlling the gene for CFP.\u201dpurA, inaA, hdeA, \u03c370, acrAB, and sodA reporters use pBbS5k; all others use pBbE5k).\u201cthe vector was originally derived from the low-copy (SC101) vector pBbS5k.\u201d This has been corrected to: \u201cthe vector was either SC101 origin pBbS5k or ColE1 origin pBbE5k (In the original version of the article, the \u201cMethods\u201d section contained the following two incorrect statements:The errors have been corrected in the HTML and PDF versions."}
+{"text": "Correction to:Cell Death and Disease 9: 945;10.1038/s41419-018-1007-x;published online 20 September 2018The original version of this Article contained an error in the Abstract. \u201cPSA-NCAM positive neuroblastoma cells\u201d should have read \u201cPSA-NCAM positive neuroblasts\u201d. Similarly, in the first paragraph of the Discussion, \u201cthe number of neuroblastoma cells\u201d should have read \u201cthe number of neuroblasts\u201d.This has been corrected in both the PDF and HTML versions of the Article."}
+{"text": "The correct sentence is: For exogenous prostaglandin experiments, 10\u03bcM 16,16-dimethylprostaglandin EThere is an error in the"}
+{"text": "In the article titled \u201c6-Gingerol Protects Heart by Suppressing Myocardial Ischemia/Reperfusion Induced Inflammation via the PI3K/Akt-Dependent Mechanism in Rats\u201d , there w"}
+{"text": "In the article titled \u201cKnockdown of Sestrin2 Increases Lipopolysaccharide-Induced Oxidative Stress, Apoptosis, and Fibrotic Reactions in H9c2 Cells and Heart Tissues of Mice via an AMPK-Dependent Mechanism\u201d , the wes"}
+{"text": "Correction to: BMC Genomicshttps://doi.org/10.1186/s12864-018-5307-415 randomly chosen genes from those significantly enriched in the KEGG pathway.\u201dIn the Results section the sentence \u201cFurthermore, qRT-PCR analysis verified 18 randomly chosen genes from those significantly enriched in the KEGG pathway\u201d should be \u201cFurthermore, qRT-PCR analysis verified Fifteen DEGs from significant KEGG Pathway Classification Enrichment were randomly selected for qRT-PCR validation.\u201dIn Fig.\u00a04, caption (b) \u201cEighteen DEGs from significant KEGG Pathway Classification Enrichment were randomly selected for qRT-PCR validation\u201d should be \u201cb Fig.\u00a04b was duplicated as Fig.\u00a0Following the publication of this article , the aut"}
+{"text": "That link should be ht\u2217tp://links.lww.com/MD/C281.In the article, \u201cPrevalence of Depression in Patients With Hypertension: A Systematic Review and Meta-Analysis\u201d,"}
+{"text": "Scientific Reports 10.1038/s41598-018-30860-5, published online 17 August 2018Correction to: This Article contains errors in the Acknowledgements section.\u201cThis work was supported by Vietnam National Foundation for Science and Technology Development (NAFOSTED) [grant number \u201c104.06\u20132016.03\u201d (3/2017/104/H\u0110TN)].\u201dshould read:\u201cThis research is funded by Vietnam National Foundation for Science and Technology Development (NAFOSTED) under grant number 104.06\u20132016.03.\u201d"}
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+{"text": "Dear Editor,A 98-year-old male was referred complaining of a mass on his left cheek. He had never received immunosuppressive therapy. Physical examination showed a solid, dome-shaped, reddish tumor, 35\u202fmm in diameter, on his left cheek. Microscopic examination of a biopsy specimen revealed an infiltrative tumor in the dermis. The tumor was composed of sheets and trabeculae of atypical cells with scant cytoplasm, and round nuclei with stippled chromatin . Immunohvia the induction of regulatory T-cells, systemic immunosuppression may be an essential factor in the development of both conditions in a patient.Merkel cell carcinoma (MCC) is a rare cutaneous neuroendocrine cancer that is known to be a highly aggressive malignancy with frequent metastasis and a high mortality rate. A previous review article revealed increased risk of a second primary cancer after the diagnosis of MCC, and cutaneous malignant melanoma (MM) is one of the most common cancers after MCC.None declared.Masato Ishikawa: Drafting and editing of the manuscript; collection, analysis, and interpretation of data; intellectual participation in the propaedeutic and/or therapeutic conduct of the studied cases; critical review of the literature.Toshiyuki Yamamoto: Approval of the final version of the manuscript; conception and planning of the study; critical review of the manuscript.None declared."}
+{"text": "Bioengineering on \u201cStem Cell Bioprocessing and Manufacturing\u201d addresses the central role in defining the engineering sciences of cell-based therapies by bringing together contributions from worldwide experts on stem cell science and engineering, bioreactor design and bioprocess development, scale-up, and the manufacturing of stem cell-based therapies.The next healthcare revolution will apply regenerative medicines using human cells and tissues. Regenerative medicine aims to create biological therapies or in vitro substitutes for the replacement or restoration of tissue function in vivo lost due to failure or disease. However, whilst science has revealed the biomedical potential of this approach, and early products have demonstrated the power of such therapies, there is a need for the development of bioprocess technology for the successful transfer of the laboratory-based practice of stem cell and tissue culture to the clinic as therapeutics through the application of engineering principles and practices. This Special Issue of In the last few years, human pluripotent stem cell (hPSC) derivatives have emerged as promising allogeneic cell therapy products, with amazing potential to treat a wide variety of diseases and a vast number of patients globally. Brian Lee and co-authors addresseAmong the most promising hPSC derivatives, hepatic cell lineages represent a potential cell source, holding great potential for biomedical applications, such as in liver cell therapy, disease modelling, and drug discovery. Jo\u00e3o Cotovio and Tiago Fernandes assessedAlongside the development of novel bioreactor configurations for cell therapy manufacturing, efforts have also been undertaken to optimize bioreactor operating conditions. In their study focused on the manufacturing of mesenchymal stem/stromal cell (MSC) therapies, Josephine Lembong and colleagues developeAn additional key aspect towards the successful translation of cell therapy products is the need to use animal origin-free products -free) for the derivation, expansion, and differentiation of stem cells in order to minimize the risks of animal-transmitted diseases and immune reactions to foreign proteins. In this context, Valentin Jossen and colleagues developeIn addition to the increasing demand for large-scale cell manufacturing protocols, there is a critical need to establish potency assays for stem cell therapy products and their derivatives. Katharina M. Prautsch and colleagues developeExperimental culture conditions are critical for the ex vivo expansion and differentiation of stem cells. In fact, variables such as culture supplements, the purity of the initial cell population, the initial cell concentration, and the duration of culture affect the outcome of stem cell cultures and, consequently, the regenerative potential of ex vivo cultured stem cell-derived products. Sam L. Francis and co-authors focused Finally, cell-delivery methods are a key part of regenerative medicine. The delivery of stem cells and their derivatives can be performed as scaffold-free products or combined with polymer scaffolds. Traditionally, cells and biological agents are implanted into the matrix of the scaffold following electrospinning. The study performed by Nasim Nosoudi and colleagues focused"}
+{"text": "In September 2017, Namibia\u2019s Ministry of Health and Social Services (MoHSS) identified an increase in cases of acute jaundice in Khomas region, which includes the capital city of Windhoek. Hepatitis E is a liver disease caused by hepatitis E virus, which is transmitted by the fecal-oral route, causing symptoms consistent with acute jaundice syndrome , development of effective communication strategies through a reformatted situation report, and supporting implementation of effective outbreak control and prevention measures.This is the third hepatitis E outbreak described in Namibia since 1983, the largest to date, and the first of nationwide scope ("}
+{"text": "Defining the role of nutrients in disease prevention and control has entered a renaissance because of both breakthroughs in studying the gut associated microbiome ,2 and deFrom the earliest pen strokes in their review, Gombart, Pierre, and Maggini appropriately remind the reader of the evidence that clinical deficiencies of specific micronutrients impair immune responsiveness . A classThe role of specific micronutrients and of various combinations are painstakingly documented in , althougFood-gut microbiome-immune system interactions are an unquestionable focus of the recently released National Institutes of Health (USA) Nutrition Research Strategy ,14. The A principal focus of the Gombart, Pierre, and Maggini review is directed to infectious diseases. While this is very appropriate, it must also be considered that 60% of deaths globally are due to chronic diseases in which the immune system, as well as the gut associated microbiome, play a significant role . Whether"}
+{"text": "The Role of the Lymphatic System in Lipid and Energy Metabolism, and Immune Homeostasis During Obesity and Diabetes\u201d summarizes the rapid development of the field of lymphatic vessel biology over the last two decades emphasizing its relevance to metabolism and metabolic dysregulated diseases. The Research Topic, available in Frontiers in Physiology\u2014Lipid and Fatty Acid Research, comprises 11 Reviews of the current literature, one Original Research Article, one Perspective, and one Hypothesis and Theory by experts in the field.The Research Topic \u201cXiao et al. discuss the emerging evidence that oral glucose and intestinal hormone glucagon-like peptide-2 (GLP-2) mobilize retained enteral lipid into the lymphatic system by two different mechanisms; (i) via glucose, by mobilizing cytoplasmic lipid droplets and (ii) via GLP-2, by targeting post-enterocyte secretory mechanisms. A second contribution by Zhou et al., discusses the importance of composition and properties of the matrix in the lamina propria in regulating chylomicron diffusion and their entry in the lacteals. Zhou et al. provide insights into the activation of mucosal mast cells by fat absorption and the associated metabolic consequences highlighting the link between chylomicron transport, mucosal mast cell activation, leaky gut, and the microbiome. In the Hypothesis and Theory Article, Nauli and Matin discuss a potential mechanism related to higher accumulation of abdominal visceral fat in males as compared to pre-menopausal women. The authors propose that the accumulation of abdominal visceral fat in men, a strong independent predictor of mortality, is due to the higher dietary fat uptake by abdominal visceral fat. During the post-prandial state, the larger chylomicrons observed in males congest the lamina propria and the low-pressure lymphatics, predisposing the chylomicron triglycerides to hydrolysis by lipoprotein lipase. The liberated fatty acids are then stored by the nearby abdominal visceral adipocytes, leading to the accumulation of abdominal visceral fat. These mechanisms perhaps explain the reason of bigger and higher production of chylomicrons in males.The involvement of the lymphatic system in the transport and distribution of lipids has been known for centuries . Mouse models of obesity with defective lymphatic function are summarized in Norden and Kume.The link between the lymphatic system, metabolic dysfunction, inflammation, and the metabolic syndrome is not completely understood and likely to involve multiple mechanisms and different organs. A growing body of evidence suggest that dysfunctional lymphatic vasculature might promote obesity by impairing adipogenesis and promoting inflammation. This is somehow not surprising given the adipogenic properties of lymph within the lymphatic function and progression of atherosclerosis. Another critical metabolic organ where lymphatic vessels are currently understudied is the liver. Burchill et al. review the inherent difficulties of using lymphatic markers to identify lymphatic vessels in the liver, where hepatic cells express many of the same proteins. The focus of the review, however, is summarizing newly identified roles for lymphatic endothelium in non-alcoholic steatohepatitis and hepatitis C infection.The Research Topic reviews the contribution of lymphatic biology in metabolically dysregulated diseases, including type 2 diabetes, atherosclerosis, myocardial infarction, and chronic liver disease. Zhang et al. provide a comprehensive review of the molecular regulation of LEC junctions during development, and diseases namely obesity and inflammation-associated conditions. The authors provide a comprehensive summary of lymphatic vascular phenotypes following genetic deletion of junctional proteins.Lymphatic endothelial cell (LEC) junctions are crucial for the maintenance of vessel integrity and proper lymphatic vascular function. Pawlak and Caron. The authors review five highly specialized hybrid vessel beds that adopt partial lymphatic programing for their specialized vascular functions namely (i) the high endothelial venules of secondary lymphoid organs, (ii) the liver sinusoid, (iii) the Schlemm's canal of the eye, (iv) the renal ascending vasa recta, and (v) the remodeled placental spiral artery. The authors summarize the morphology and endothelial expression pattern of these vessels and interrogate their specialized functions within the broader blood and lymphatic vascular systems (Pawlak and Caron). Finally, Azhar et al. discuss the current knowledge on the pathophysiology of lymphedema, a chronic and progressive disease arising from impaired lymphatic drainage, which causes accumulation of interstitial fluid and results in tissue swelling (Rockson, Vascular diversity and endothelial plasticity are reviewed by Rockson, . AuthorsIn conclusion, our understanding of the regulation of the lymphatic system in contributing to tissue remodeling, inflammation, and metabolic outcome during disease has greatly improved in the last two decades. However, more translational studies are needed to pave the way for novel therapeutic approaches to treat metabolically dysregulated diseases, including type 2 diabetes, atherosclerosis, myocardial infarction, and chronic liver disease, as well as lymphedema and lipedema.All authors wrote and revised the manuscript. All authors contributed to the article and approved the submitted version.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "The deformation and cracking of concrete will lead to various deterioration processes, which will greatly reduce the durability and service life of the concrete pavement. The relating previous studies and analysis revealed that the coupling action of environmental temperature, moisture, and wheel load will cause cracking and seriously affect the normal service and durability of pavement concrete. This paper presents theoretical and numerical state-of-the-art information in the field of deformation and failure of pavement concrete under coupling action of moisture, temperature, and wheel load and draws some conclusions. (a) Concrete is a typical porous material, moisture and heat transfer theory has obtained enough data to simulate the hygro-thermo properties of concrete, and the relationship between moisture and heat is very clear. (b) There are few studies on concrete pavement or airport pavement considering the coupling action of moisture, temperature, and wheel load. (c) Concrete pavement is subjected to hygro-thermal-mechanical coupling action in service, which has the characteristics of a similar period and its possible fatigue effect. (d) COMSOL software has certain advantages for solving the coupled hygro-thermal-mechanical of concrete. Cement concrete pavement is widely used in the construction of the airport runway and high-grade highway in China. More than 80% of the airport pavement in China adopts cement concrete . For pavThis paper will start from the coupling action of moisture, temperature, and wheel load that affects the deformation and failure of concrete pavement in the service life. The basic model of the multi-physical fields of concrete, research on the fatigue effect of concrete pavement, research on the deformation and failure of concrete pavement or airport pavement (except for concrete pavement or airport pavement), and the numerical simulation method of hygro-thermal-mechanical coupling deformation of concrete are discussed. This paper will provide new research ideas for the study of concrete deformation and failure of the pavement.Concrete is a typical porous medium material ,6, and iGenerally, it is assumed that the moisture transfer in porous cement-based materials is in the form of diffusion, and the humidity gradient is the driving force of humidity (liquid water and steam). According to Fick\u2019s law and mass conservation equation, the one-dimensional transmission formula is as follows :(1)\u2202\u2202x is as follows :(2). The rheological model is shown in In the formula, the For the pavement in the area with significant temperature and humidity changes, frequent takeoff and landing of aircraft or airport runway of large military multi-wheel aircraft, heavy load and frequent traffic, the pavement is more prone to deformation and damage. The problem of deformation and cracking of airport runway, highway, and urban road pavement has not been well solved because the influence factors of pavement concrete deformation and failure are not fully considered in the design stage. The above factors include temperature change, dry and wet change, and dynamic and static action of wheel load and its coupling effect. The research on the fatigue effect of airport concrete is mainly as follows: large scale airfield concrete slabs were tested by Jeffery R. Roesler in the lIn the related research on deformation and failure of airport pavement or cement concrete pavement, many researchers mainly focus on the influence of temperature, fatigue load and freeze-thaw, temperature and humidity changes on the shrinkage, and cracking of pavement concrete ,30,31,32Seongcheol. Choi et al. sMany Chinese researchers have carried out research on warpage stress. In recent years, there have been studies considering the joint effect of temperature effect and wheel load stress. Tan Zhiming et al. earlier A 3D finite element model was established for analyzing the mechanical responses of cement concrete airport pavement to multiple-gear military aircraft loadings. The test results showed that the maximum tensile stress in the pavement occurred at the bottom of the slab, the tensile stress and the deformation of the pavement under two 8-wheeled gears were smaller than that under one 8-wheeled gear. The elasticity modulus of the slab, the resilience modulus of the base and the reaction modulus of the subgrade all had significant effects on the mechanical responses of the pavement.Zheng Fei and Weng Xingzhong analyzedThe research on the hygro-thermal-mechanical coupling action analysis was previously in the field of rock engineering and had always been a research hotspot ,54. The In the research of the numerical simulation method of hygro-thermal-mechanical coupling deformation of concrete, there are four main numerical simulation methods:This method does not involve the internal heat and mass transfer mechanism and specific processes of the porous media, but only considers the relationship and cross effect between various flows and forces of heat and mass transfer. A phenomenological equation can be obtained to describe various flows. Phenomenological methods are difficult to apply in practice due to the influence of test conditions and many material parameters. Due to the lack of effective means and methods for testing moisture distribution, the moisture migration rate is slower than the thermal migration rate. In the process of solving various models, the values of some coefficients are basically based on experimental or empirical data, which affects the versatility of this method.This method considers the heat absorption or exotherm in the process of heat and mass transfer, and establishes a partial differential equation system based on the principles of mass conservation and energy conservation in the process of moisture migration. The method of numerical analysis is used to solve the equations to obtain the analytical solutions of the heat, humidity fields, and their dynamic changes ,73,74,75The finite element method is the most widely used numerical calculation method in scientific research and has become the main tool for solving scientific and technological problems. At present, many commercial finite element softwares have been developed, such as ANSYS, MSC, ADINA, ABAQUS, etc. In the finite element analysis method, the model should be established first, and then solved by self-programming ,58,63,81The analysis method of COMSOL multi-physical field coupling calculation software ,70,86 waThe studies of the coupled hygro-thermo-mechanical behavior of concrete pavement have been reviewed in this paper. The various aspects on the deformation and failure of concrete pavement under coupling action of moisture, temperature and wheel load presented in this paper could be summarized and concluded as:1. Concrete is a typical porous material, moisture and heat transfer theory had been obtained enough data to simulate the hygro-thermo-mechanical properties of concrete, and the relationship between moisture and heat is very clear.2. There has been some research on the moisture-heat-mechanical coupling of concrete materials, but most of the research focused on the performance of concrete in fire or high temperature. There are few studies on the moisture-heat-mechanical coupling deformation of concrete under normal service conditions.3. In the related research on deformation and failure of airport pavement or cement concrete pavement, many researchers mainly focused on the influence of temperature, fatigue load and freeze-thaw, and temperature and humidity changes, which lead to the shrinkage and cracking of pavement concrete. There are few kinds of literature considering the coupling action of moisture, temperature, and wheel load at the same time.4. Concrete pavement is subjected to hygro-thermal-mechanical coupled action in service, which has the characteristics of a similar period and its possible fatigue effect. In the existing moisture-heat-mechanical coupling research, the research on \u201cforce\u201d is mostly the load of a certain stress level continuously applied, but not enough attention is paid to the periodicity of wheel load and the change of temperature and humidity.5. COMSOL software has certain advantages for solving the coupled hygro-thermal-mechanical of concrete.In the later research, the deformation and failure mechanism of pavement concrete under the coupling action of moisture, temperature, and wheel load need to be studied."}
+{"text": "Since its discovery in 1997, the default mode network (DMN) and its components have been extensively studied in both healthy individuals and psychiatric patients. Several studies have investigated possible DMN alterations in specific mental conditions such as bipolar disorder (BD). In this review, we describe current evidence from resting-state functional magnetic resonance imaging studies with the aim to understand possible changes in the functioning of the DMN in BD. Overall, several types of analyses including seed-based and independent component have been conducted on heterogeneous groups of patients highlighting different results. Despite the differences, findings seem to indicate that BD is associated with alterations in both frontal and posterior DMN structures, mainly in the prefrontal, posterior cingulate and inferior parietal cortices. We conclude this review by suggesting possible future research directions. To date, however, neurobiological underpinnings of the disorder are still discussed, hindering the development of new pharmacological therapies and targeted rehabilitative interventions. Findings on brain structure in BD suggest ventricular, prefrontal and temporal abnormalities but remain largely inconsistent . Particularly, rs-fMRI is used to evaluate the functional interactions among remote neural systems that occur in a resting or task-negative condition, i.e. when an explicit task is not being performed. This technique provides information about intrinsic brain activity, not dependent on specific tasks or experimental settings. Most commonly, the brain functional connectivity (FC) at rest is studied by analysing the statistical dependencies among the blood oxygenation level-dependent (BOLD) signals from multiple brain regions, which reflect the spontaneous fluctuations in the oxygenation state of blood within them seed-based analyses (SBA), which require a-priori definition of the brain network nodes, (2) blind-source separation techniques, which adopt an unbiased approach by grouping brain voxels/regions based on their latent time series the Salience Network (SN), composed of the ACC and the insula; (ii) the central-executive network (CEN) consisting of fronto-parietal regions and the posterior parietal cortex; (iii) the fronto-parietal network (FPN) that includes the cortex surrounding the intraparietal sulcus, the inferior parietal lobe, the dorsal motor cortex and the inferior frontal cortex; and (iv) the default-mode network (DMN) extending from the prefrontal medial cortex (mPFC) to the precuneus, posterior cingulate cortex (PCC) and inferior parietal cortex. The DMN is recognised as a key component of the brain functional architecture. The vmPFC composes the anterior part of the DMN and has been shown to modulate social behaviour, mood regulation, executive functioning and control processes original publication in a peer-reviewed journal between 2010 and 2020, (ii) English language, (iii) a diagnosis of BD for the patient groups and (iv) the analysis of the DMN activity patterns through rs-fMRI. After an initial screening 71 studies were identified of which 23 studies were included in the review.et al., et al., et al., et al., et al., et al., et al., et al., Overall, findings from the reviewed studies suggest that BD patients compared to Healthy Controls (HC) are characterised by marked functional alterations of both anterior and posterior hubs of the DMN, including the PFC, PCC, precuneus and inferior parietal cortex. These alterations are mostly mixed across studies, consisting of both hypo and hyper-connectivity of the anterior DMN at rest .et al., et al., et al., et al., et al., et al., et al., et al., et al., v. HC, possibly indicating specificity of the PCC alterations for the psychotic conditions showed aberrant functional activity in the posterior hubs of the DMN, of which five in the precuneus (21%) and 12 in the PCC (52%). These alterations are mostly hypo-activations of BD patients when compared with HC. Specifically, most of the studies showed FC reductions in BD compared to HC within these regions suggesting a possible relationship between the two regions without any history of medication. The authors suggest that the absence of alterations within the DMN may be due to specificity of the recruited group or on the absence of medication.Only two studies found no alterations in the DMN of BD patients , different BD populations or the lack of control for confounders that may have influenced the results compared to HC in both frontal and posterior hubs of the DMN. In particular, the evidence to date suggests that BD patients compared to HC have altered FC of the DMN in a number of regions including the PFC, the ACC and PCC and the precuneus. However, only a paucity of studies has been conducted and evidence is still sparse. The inconsistency of findings may be due (in part) to methodological issues such as heterogeneous analysis pipelines can account for the complex dynamics in the interactions between brain regions as suggested by some studies investigate the complex link between structure and function in the DMN and other networks involved in BD pathophysiology, (2) identify neurodevelopmental and maturation trajectories of FC patterns in relation to the natural course of the disease and in response to different therapeutic strategies, (3) disentangle the contributions of genetics, environment and their interaction to the large-scale functional brain network abnormalities underlying BD symptomatology.The data that support the findings of this study (search query) are available on request from the corresponding author."}
+{"text": "The Industrial Internet of Things is the emerging core backbone construct for the various cyber-physical systems constituting one of the principal dimensions of the 4th Industrial Revolution. While initially born as a concept inside specific industrial applications of the generic IoT technologies, for the optimization of the operational efficiency in automation and control, it quickly became the vehicle for the achievement of the total convergence of Operational Technologies (OT) with Information Technologies (IT). Today, it is already breaking the traditional borders of automation and control functions in the process and manufacturing industry, towards a wider domain of functions and industries, embraced under the dominant, global initiatives and architectural frameworks of Industry 4.0 (or Industrie 4.0) in Germany, Industrial Internet in the US, Society 5.0 in Japan, and Made-in-China 2025 in China. As real-time embedded systems are quickly achieving ubiquity in people\u2019s everyday life and in industrial environments, and many processes already depend on real-time cyber-physical systems and embedded sensors, IoT integration with cognitive computing and real-time data exchanges is essential for real-time analytics and realization of digital twins in smart environments and services under the various frameworks\u2019 provisions ,2. In thThe ten articles in this Special Issue provide advances of real-time sensor networks and systems that are significant enablers of the Industrial IoT paradigm. In the relevant landscape, the wireless networking technologies domain is centrally positioned, as expected. Seferagi\u0107 et al. comparatively discuss various alternatives for the engineering and deployment of industrial wireless sensor and actuator networks (IWSAN) in . In thisSeveral articles in this Special Issue address important industrial IoT security and infrastructure protection issues. Tedeschi et al. analyze the integration of modern IoT and legacy industrial equipment for real-time machine condition monitoring applications, and the resulting security challenges in . The autThe real-time performance of the evolving IIoT networks and systems is increasingly considered among the major IIoT challenges, together with energy efficiency, security, and interoperability . Coming For all these reasons, we expect that the pressure for solutions will be increased with the upcoming penetration of 5G and the"}
+{"text": "The importance of teamwork to improve the quality of care and overcome the complexity of health system is clear to everyone. Therefore the current study aimed to review the studies in the field of team-work assessment in hospital and pre-hospital emergency.In this review study, scientific texts with the key-words of teamwork, paramedic, emergency medical technician, emergency department and inter-professional practice were searched in Google scholar, PubMed, scientific information database(SID), and Magiran.Several studies have been found on the training and evaluation of teamwork in different parts, particularly in the treatment section. The results show that training and promotion of teamwork in health care lead to better performance and results, reducing clinical errors and reducing patient long length of stay In wards especially in the emergency department. Studies indicate that organizational support and teamwork training has the greatest impact in teamwork facilitate. In the pre-hospital emergency, there was a wide variety of teammates and less familiarity with teammates in EMS is associated with more occupational injuries. According to the aid team of pre-hospital emergency and their interaction with the hospital emergency department and other relief teams, training and evaluation of teamwork is important in EMS. However, there are few studies on teamwork in pre-hospital emergency especially in Iran. According to the importance of pre-hospital emergency mission, it is necessary to pay attention to teamwork in the emergency training curriculum and evaluation of teamwork in pre-hospital EMT. Teamwork, Pre-hospital, Emergency, Medical technician"}
+{"text": "This paper presents a comparative analysis of the gross regional products (GRPs) of 85 Russian regions. Statistical methods were used to analyze datasets on regional GRP, its sectoral composition and growth rates. Many datasets have been computed for the first time, including those of gross value added per capita and per employee. The work reviews a range of evidence on the contribution of the production of goods and market and non-market services to regional GRPs. The production of goods was further analyzed by economic sectors for each region. The data used in computations were provided by the Russian Federal State Statistics Service (ROSSTAT). The authors built a typology of Russian regions based on GRP figures, GRP sectoral composition and growth rates. The data obtained make it possible to determine a set of indicators of the geographical distribution of Russia's economy and its growth rates. The findings are presented in the form of tables, maps and graphic materials , displaying quantitative measures of the economic performance of Russian regions . In this work, we performed a comparative analysis of GRP output, GRP sectoral composition and growth rates of 85 Russian regions. These indicators have been extensively analyzed in economic literature. Many authors have built their typologies of regions based on GRP per capita This work presents a comprehensive large-scale assessment of the gross regional products of 85 Russian regions. The computations characterize the level of economic development of different parts of the country: GRP measures the value of goods and services produced in a region; GRP per capita reflects the economic output of a region and the standard of living; the ratio of different economic sectors defines the sectoral composition of regional economies. Special attention was paid to the analysis of datasets for the production of goods, market and non-market services.The sectoral composition of GRP was analyzed using two datasets \u2013 on GRP per capita and GRP growth rates. This makes it possible to evaluate the economic performance of individual sectors of the regional economy and to measure labor productivity and economic growth rates.Cartographic representation of GRP helps reveal similarities and disparities in regional economic development.1)GRP per capita and employee \u2013 gross value added per sector (per type of economic activity);2)GRP sectoral composition of consolidated groups of economic activity \u2013 the production of goods per economic sector3)GRP growth rates - GRP per capita.Types and subtypes of regions were identified based on the following coupled indicators:The initial and computed statistical data are presented in three tables, two diagrams and 10 cartographic maps for all 85 regions of the Russian Federation. They illustrate GRP figures and sectoral composition in 2018 and the growth rates of GRP per capita during two periods \u2013 2004\u20132018 and 2013\u20132018.The economic differentiation of Russian regions is analyzed according to 30 indicators.The aggregated GRP and social indicators datasets on Russian regions are available in spreadsheets (Annex 1).The aggregated GRP per economic sectors in 2018 datasets on Russian regions are available in separate spreadsheets (Annex 2).Annex 3 contains tables presenting groups of Russian regions formed according to the chosen indicators see , Fig. 14Regions of the Russian Federation differ greatly in size, natural resources, the number and replacement rate of the population, GRP figures and other socio-economic indicators. For instance, Sevastopol, a city of federal importance, (territory \u2013 0.9 thousand sq. km) is 3.4 thousand times smaller than the Republic of Sakha (Yakutia) (3083.5 thousand sq. km). The population of the Nenets autonomous region is 288 times smaller than that of Moscow . In 2018, the GRP of the Republic of Altai amounted to 51 billion rubles, whereas that of Moscow to 17 882 billion rubles, which is 351 times as much. In 2018, the highest average annual growth rate of GRP per capita as compared to 2013 was 6.5% , and the largest decrease was -2.0% in the Republic of North Ossetia-Alania.The GRP of Moscow is four times that of the Khanty-Mansi autonomous region, which is the second-largest oil-producing region in Russia. The Moscow region (forming a single agglomeration with the city of Moscow) and St. Petersburg, which is often referred to as the second or cultural capital of the Russian Federation , have almost reached the GRP of Moscow.The data in We established correlations between GRP per capita of Russian regions and some other socio-economic indicators. The coefficient of linear correlation of GRP per capita with urban population figures and population density is extremely small \u2013 0.25 and 0.08 respectively.Although many highly urbanized regions of Central Russia and the Volga region have rather low GRP per capita, the Moscow agglomeration boasting a very high level of urbanization is the social and economic nucleus of the country. The St. Petersburg agglomeration also plays an important role.The correlation between these two indicators is rather low: the linear correlation coefficient is 0.14. As Of all federal districts of Russia, only the regions of the Far East saw an increase in GRP per capita.In the Siberian Federal District, GRP per capita decreased in the analyzed period. The decrease was particularly dramatic in the Republic of Buryatia (7%), which had already had very low per capita figures. In the Ural Federal District, there are two territories, the Tyumen Oblast and the Khanty-Mansi autonomous region, which belong to regions with high GRP per capita.Two regions in the Southern Federal District and three in the North Caucasus also have declining GRP figures. At least one region saw a decline in GRP per capita in the Central, Northwestern and Volga Federal Districts.Further research requires analysis of the GRP sectoral composition. The main Russian oil and gas regions have the largest share of the production of goods in their GRP structure: the Nenets (88.4%), Khanty-Mansi (83.4%) and Yamal-Nenets autonomous regions (82.7%) and Sakhalin (80.4%) , St. Petersburg (54%) and the Moscow (53%), Primorye (52%) and Novosibirsk (51%) regions. The highest percentage of non-market services (33%\u201350%) is typical of Russia's national republics \u2013 Ingushetia (50%), Chechnya, North Ossetia-Alania, the Karachay-Cherkess Republic in the North Caucasus, Altai, Tyva, Buryatia in southern Siberia, as well as of cities of national importance (Sevastopol). This can be explained by a weaker development of the other two sectors \u2013 the production of goods and market services.The Belgorod region, located in the Chernozem zone of Russia, has fertile soils and is well developed industrially. The region has the highest value added both per capita and per employee. Other regions of the Chernozem zone \u2013 Orlov, Kursk, Lipetsk, Voronezh, Tambov and Bryansk (the latter belongs to the Non-Chernozem zone and has intensive farming) are catching up.Regions of the North Caucasus , Volga regions and the Novgorod region are characterized by a relatively high GRP per capita. High per capita figures of some coastal regions can be attributed to the development of fishing and fish farming. The Primorye region also has highly developed forestry and logging. Many northern and eastern regions having relatively high gross value added figures employ more people in forestry and logging than in agriculture. Territories with the least favorable natural conditions have poorly developed agriculture. These are the Arctic coastal regions of Siberia and the Far East, regions bordering Mongolia and the regions of the Northern Urals. Crimea and some regions of the Middle Volga region, Central and North-West of the European part of Russia have low value added figures.The highest value added per capita (over 1 million rubles) and per employee (over 10 million rubles) was registered in the main oil and gas regions \u2013 Sakhalin region and the Khanty-Mansi and Yamal-Nenets autonomous regions. The Republic of Sakha (Yakutia) and the Chukotka autonomous region have high value added per capita ranging from 500 thousand to 1 million rubles, and per employee \u2013 from 5 million to 20 million rubles. All these regions, except the Nenets autonomous region, are located in Siberia and the Far East. In the Krasnoyarsk (Eastern Siberia) and Magadan regions (Far East), the Orenburg region , the Komi Republic (North-West) and the Astrakhan region , value added per capita and per employee exceeds 200,000 rubles and 5 million rubles respectively. Central Russia (except the Belgorod region), the southern part of Russia's north-west, the east of the Volga region, North Caucasus and some southern regions of Western Siberia have the lowest per capita and employee figures.The manufacturing industry of Russia employs 14% of the working population. A higher percentage is observed only in trade and the repair and maintenance of motor vehicles and motorcycles (19%). The most developed manufacturing regions having high gross value added per capita and per employee are located in Central Russia and in the south of Russia's north-west, the Middle Volga region, in the Urals, as well as in the eastern regions of the country \u2013 primarily in the Krasnoyarsk region and the Tyumen region see . Most eaNorthern and eastern regions take the lead in the production of electric energy, gas, steam and air conditioning. This can be attributed to severe climatic conditions, which require considerable investment in the production of electric energy and heat for industrial and household needs . There aWater supply, wastewater treatment, waste collection and disposal and pollution elimination are most developed in the northern regions of Russia having cold climate \u2013 in the Republic of Sakha (Yakutia), the Murmansk region, the Yamal-Nenets and Chukotka autonomous regions) and in the most economically developed and highly urbanized regions . These industries are the least developed in the republics of North Caucasus, southern Siberia and the Far East .In construction and the production of goods, value added per capita differs from region to region . There iMoscow, the Republic of Tatarstan, and the Leningrad region have the highest indicators among industrially developed regions.Among market services, the share of trade and repair of motor vehicles and motorcycles in the GRP sectoral composition is 44%; that of transportation and storage, 17%. The development of these sectors largely determines the value added per capita and per employee, which is the highest (as is the case for the production of goods) in the two capital cities, Moscow and St. Petersburg, and in the main oil and gas regions, the Nenets, Khanty-Mansi and Yamal-Nenets autonomous regions was used to form 13 groups within the 85 regions. Subdivision into subgroups was done by means of expert evaluation.The proposed classification of regions can be used for comparative analysis of the geographical distribution of economic centers in Russia and the assessment of Russia's economy.2Regions of Russia reference book. These data were used for computing average values of GRP per capita and per employee as well as chain indices of GRP growth rates. Coefficients of linear correlation between GRP and its growth rates, on the one hand, and other socio-economic characteristics of regions, on the other, were also calculated.Statistical data were obtained from the EMISS database of the Federal State Statistics Service of Russia and the The data obtained are presented in three tables, three charts and 11 cartographic maps displaying quantitative indicators.http://dx.doi.org/10.17632/n36vrd8zrp.1Transparency data associated with this article can be found in the online version at The authors declare no competing interests."}
+{"text": "This review focuses on different inflammation models established in zebrafish, and how they are being used for the development of novel anti-inflammatory drugs. The most commonly used model is the tail fin amputation model, in which part of the tail fin of a zebrafish larva is clipped. This model has been used to study fundamental aspects of the inflammatory response, like the role of specific signaling pathways, the migration of leukocytes, and the interaction between different immune cells, and has also been used to screen libraries of natural compounds, approved drugs, and well-characterized pathway inhibitors. In other models the inflammation is induced by chemical treatment, such as lipopolysaccharide (LPS), leukotriene B4 (LTB4), and copper, and some chemical-induced models, such as treatment with trinitrobenzene sulfonic acid (TNBS), specifically model inflammation in the gastro-intestinal tract. Two mutant zebrafish lines, carrying a mutation in the hepatocyte growth factor activator inhibitor 1a gene (hai1a) and the cdp-diacylglycerolinositol 3-phosphatidyltransferase (cdipt) gene, show an inflammatory phenotype, and they provide interesting model systems for studying inflammation. These zebrafish inflammation models are often used to study the anti-inflammatory effects of glucocorticoids, to increase our understanding of the mechanism of action of this class of drugs and to develop novel glucocorticoid drugs. In this review, an overview is provided of the available inflammation models in zebrafish, and how they are used to unravel molecular mechanisms underlying the inflammatory response and to screen for novel anti-inflammatory drugs.Dysregulation of the inflammatory response in humans can lead to various inflammatory diseases, like asthma and rheumatoid arthritis. The innate branch of the immune system, including macrophage and neutrophil functions, plays a critical role in all inflammatory diseases. This part of the immune system is well-conserved between humans and the zebrafish, which has emerged as a powerful animal model for inflammation, because it offers the possibility to image and study inflammatory responses When the body encounters harmful stimuli, such as invading pathogens, wounding or damaged cells, the immune system will be activated and an inflammatory response is triggered ] and non-steroidal anti-inflammatory drugs as a research model started in the 1950s and it was initially applied for studying embryonic development , for which guidelines have been published by the Organization for Economic Co-operation and Development . In addiFigure 2 for a schematic overview of these different methods), and we discuss how they are used for studies on the molecular mechanisms underlying the inflammatory response as well as for research aiming at the development of novel anti-inflammatory drugs, in particular novel GC drugs.The immune system of zebrafish is highly similar to that of humans. The innate branch of the immune system matures first during zebrafish development, and macrophages can be observed from 15 h post-fertilization (hpf) promoter ] gradient from the wounded site, through local activation of the epithelial NADPH oxidase Duox was found to mediate migration by inducing actin polymerization and generating membrane protrusions at the leading edge through Rac activation and polarization of F-actin dynamics (in a Rac-independent way), which is required for actomyosin-mediated tail contraction reporter line, similar to the differentiation processes that are observed in mammalian macrophages , and results in an increased expression of pro-inflammatory molecules like tnfa, il1b, il6, and il8 is known to be a potent chemoattractant for neutrophils in mammalian systems resulted in impairment of the fin regeneration, and the presence of large vacuoles in the regenerated tissue resulted in suppression of neutrophil apoptosis and reduced the level of inflammation in zebrafish larvae.In order to find new anti-inflammatory drugs from collections of existing or clinically approved drugs and cytokines -38, known to be an anti-apoptotic and anti-inflammatory factor, was reported to inhibit neutrophil migration toward the neuromasts and expression of pro-inflammatory genes (Leukotriene B4 (LTB4) is an eicosanoid released by leukocytes, acting as a pro-inflammatory mediator and enhancing leukocyte accumulation at sites of inflammation represents a group of intestinal disorders that are characterized by inflammation of the digestive tract Hanauer, . IBD is il1b, tnfa, mmp9, ccl20, and il8 was observed upon TNBS treatment has also been utilized to induce intestinal inflammation. This treatment recapitulates several aspects of TNBS-induced enterocolitis, inducing symptoms such as elevated expression of pro-inflammatory genes and neutrophil recruitment around the intestine , and was shown to result from soy saponin and not soy protein and decreased the relative number of Firmicutes (Lactobacillus group) in the composition of the larval microbiota, and these changes correlated with the severity of the enterocolitis anti-inflammatory and antibiotic drug treatments which ameliorated the response to TNBS played a critical role. Morpholino knockdown of mmp9 partially rescued the abnormal epithelial phenotype as well as the neutrophilic infiltration of the epithelium, and restored the organization of collagen fibers.To identify genes with essential functions during zebrafish skin development, a screen of mutants generated by insertional mutagenesis was performed gene was identified axis, the fish equivalent of the HPA axis (Wendelaar Bonga, irg1l, thereby inhibiting the ROS production which is important for leukocyte migration (Hall et al., il8, tnfa, and il1b and reduced the recruitment of leukocytes toward the wounded area (Kyritsis et al., Upon tail amputation in embryos, treatment with several synthetic GCs has been shown to inhibit the migration of neutrophils toward the wounded site in a Gr-dependent manner. However, GCs leave the migration of macrophages unaffected in most studies (Mathew et al., 4 immersion of larvae, GCs also caused inhibition of neutrophil accumulation (d'Alen\u00e7on et al., In the LPS-induced inflammation model, GC administration was reported to inhibit the production of ROS and NO, the expression of pro-inflammatory genes, the recruitment of leukocytes, and the mortality (Wijesinghe et al., The clinical use of GCs is severely limited by the severity of their side effects, which include diabetes and obesity, osteoporosis, and impaired wound healing. Interestingly, these effects have been modeled in zebrafish as well, opening up the possibility to evaluate both the therapeutic anti-inflammatory effect and the adverse effects. GC effects on metabolism, including increased glucose concentrations, were observed in zebrafish embryos and the global transcriptional changes underlying these effects have been characterized (Chatzopoulou et al., in vivo, mainly due to the small size and transparency of zebrafish larvae. The similarities of the immune system and inflammatory responses between zebrafish and mammals guarantee good translational value.The use of animal models is a critical part of biomedical research and crucial for the development of novel drugs. A wide range of human disease models have been established in mammalian models such as rats and mice, which have largely contributed to the remarkable progress in our understanding of the mechanisms underlying these diseases and the development of novel therapies. However, the rodent systems have limitations such as the high cost of housing and breeding and they are not suited for large-scale automated screening. The development of the zebrafish animal model in the past decades has added a complementary system, which allows the performance of automated high through-put screening 2O2 gradient is created during the onset of an inflammatory response which signals to leukocytes in the tissues (Niethammer et al., in vitro assays and rodent experiments with great potential to accelerate the preclinical phase of anti-inflammatory drug development.In order to model inflammatory diseases, three types of inflammation models have been developed in zebrafish: wounding-, chemical-, and mutation-induced inflammation. These models have enabled a detailed investigation of the cellular and molecular mechanisms underlying the inflammatory response, adding to our knowledge of the mechanisms of leukocyte behavior and the identification of potential drug targets. For example, using the zebrafish model, it was observed for the first time that a tissue-scale HAM and MS: conceptualization, resources, and supervisions. YX, AM, and MS: methodology and writing\u2013review & editing. YX: investigation and funding acquisition. YX and MS: data curation and writing\u2013original draft. MS: project administration. All authors contributed to the article and approved the submitted version.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Internet of Things (IoT), or Industry 4.0, represents a smart shift to more interconnected manufacturing processes where individual entities within the supply chain communicate with each other to achieve greater flexibility and responsiveness in general manufacturing and leaner manufacturing to reduce the cost of production. IoT has become instrumental in driving leaner manufacturing and more efficient systems in other industries such as transportation and logistics. Cell-based therapeutic products could potentially transform various diseases; however, the delivery of these products is complex and challenging.This study aims to understand the applicability of IoT in cell-based product supply chains and delivery.We will search Medline, EMBASE (OvidSP), Web of Science, Cochrane Library & HEED, Scopus, ACM digital library, INSPEC, ScienceDirect, and the IEEE Xplore Digital Library for studies published after 2008 using a combination of keywords and subject headings related to IoT used in cell therapies. Additionally, a Google search to identify gray literature will be conducted. Two authors will independently screen the titles and abstracts identified from the search and accept or reject the studies according to the study inclusion criteria. Any discrepancies will then be discussed and resolved. The quality of the selected literature will be assessed using the Critical Appraisal Skills Programme systematic review checklist.Data from eligible publications will be abstracted into a predesigned form to map the current and future directions of the technologies, applications, benefits, and challenges in the implementation of IoT in regenerative medicine. This study will be published in a peer-reviewed journal in accordance with the Preferred Reporting Items for Systematic Reviews and Meta-Analyses guidelines. This systematic review will be executed by June 2020, and the completed review will be published in a peer-reviewed journal to inform future developments in IoT application for the delivery of cell-based therapies.This review paper will provide an overview of all technologies available in the area and inspect the current IoT applications in cell-based therapies to identify the benefits, challenges, and future directions of using IoT to allow safe and cost-effective delivery of cell-based therapies.PRR1-10.2196/16935 Internet of Things (IoT) is a concept first proposed by Ashton at a preOver the last two decades, IoT has been successfully implemented in various industries including aerospace, aviation, automotive, telecommunications, medicine and health care, independent living, pharmaceutical, retail, logistics and supply chains, manufacturing, process, environmental, transportation, agricultural and breeding, media and entertainment, recycling, and insurance ,3. VarioA survey of the trends and topics in IoT research conducted by Whitmore et al in 2015 Technology platforms for facilitating information flow and exchange have been made available by industry and academic partnerships. Vitruvian Networks, for instance, is a partnership set up by GE Ventures and Mayo Clinic to make use of biomarkers, cell therapy processes, and clinical outcome data to guide therapy development . IoT allThis paper aims to systematically review all technologies available in the area, and inspect the current IoT application in cell-based therapies to identify the benefits, challenges, and future directions of using IoT to allow safe and cost-effective delivery of cell-based therapies.The aim of this review is to understand the current available technologies for IoT, the extent of implementation in cell-based therapy delivery, and the drivers and challenges for implementation of IoT. This will allow the gaps for IoT implementation to be identified and will inform future directions in cell therapy supply chain optimization.Our research questions are as follows:What is the current state of IoT implementation in cell-based therapy delivery? What companies and partnerships are engaged in IoT ?What are the technologies available for IoT specific to cell-based therapy delivery?What are the benefits of IoT in cell-based therapy delivery?What are the challenges of implementing IoT on cell-based therapy delivery?This systematic review will be conducted following the PRISMA guidelines 20]..20].In accordance with the PRISMA-P (Protocols) checklist recommendation, the inclusion criteria of this protocol are in accordance with the PICO standards. Details of the PICO to be included in the review are described in ParticipantPatients receiving cell-based therapyInterventionAny supply chain step using or interacting with the Internet of Things (IoT) technologies/networks in a cell-based therapy delivery process, from patient cell collection (if autologous) or cell sourcing to postadministration monitoring and follow-upComparatorNo intervention, standard practice, or any other type of intervention that is not IoT such as paper-based batch recordsOutcomesBenefits and challenges of IoT implementation in tissue or cell-based therapy deliveryStudy typeAny study type (study type will not be subjected to any restrictions)Publications between 2008-2018English publicationsThe fields of both IoT and cell therapy are rapidly advancing; therefore, to ensure that studies found are up to date, only publications from 2008-2018 will be considered. Studies not published in the English language are excluded due to a language barrier. Studies relevant only to the discovery, research, and development phases of cell-based therapies are not in the scope of this review.The following databases will be searched: Medline, EMBASE (OvidSP), Web of Science, Cochrane Library & HEED, Scopus, ACM digital library, INSPEC, ScienceDirect, and the IEEE Xplore Digital Library. In addition, a search on Google to identify gray literature will be conducted. EndNote X8 software will be used for the removal of duplicates. Two reviewers will independently check each article to minimize bias using the collaboration\u2019s risk of bias tool as described in the Cochrane Handbook for Systematic Review of Interventions . All selThe eligible literature will then be described for its three-layer architecture of IoT proposed in various literature ,23. Any Current practice/company and future directions for the items belowSensing layer:Sensing devices and technologies such as radio frequency identification tagsNetwork layer:Service entities arrangement, virtual entity and information, resource modulesApplication layer:Functionalities of Internet of ThingsObserved benefits (if any)Observed challenges (if any)The study aims to provide a landscape of the application of IoT technologies in the cell therapy field and identify the gaps and challenges for IoT application. A sample search was conducted on the PubMed database, and the search strings used are described in This review paper will provide an overview of all technologies available in the area and inspect the current IoT application in cell-based therapies to identify the benefits, challenges, and future directions of using IoT to allow safe and cost-effective delivery of cell-based therapies."}
+{"text": "This Special Issue is focused on measuring and characterizing the mechanical and adhesive properties of cells and membranes.Cell mechanics has an important impact on cellular functions and cell fate. The field has developed very rapidly in the last two decades, incorporating elements of cell biology, biophysics and nanotechnology. In particular, the study of lipid membranes, erythrocytes, and endothelial cells have been performed with several techniques, such as scanning force microscopy, laser pinzette, optical tweezers, and many others. Although a great advance has been achieved in recent years, the characterization of the cells properties and the understanding of the results at cellular and molecular level are still a major challenge for researchers in this area.In this issue, the principles and techniques used in studies of cell and membrane biomechanics and adhesion have been addressed. The reader will find five comprehensive experimental research articles in the oncological field, and another article dealing with cell membrane adhesion modelling, which reports the last developments in the area of adhesion and biomechanics of cancer cells. Experimentally, three of them are closely connected, since the authors used a combination of atomic force microscopy and confocal and/or fluorescence microscopy to investigate morpho-structural/cytomechanical modifications induced by anti-neoplastic drugs or proteins in cancer cells and/or the cell membrane.In one of these contributions, Mariafrancesca Cascione and co-workers , in an aOn the same line, Jagoba Iturri et al. employedIn another paper with a similar approach, Xiaoli Zhang and co-authors have invADAM17 gene found in the tissue of colon cancer patients. In order to shed light on the role of ADAM17 in cancer development, as well as into the mechanisms that regulate maturation and cellular trafficking of ADAM17, they perform overexpression investigations of four ADAM17 variants located in the pro-, membrane-proximal- and cytoplasmic-domain of the ADAM17 protein in ADAM10/17-deficient HEK cells. They found a cancer-associated point mutation within the pro-domain of ADAM17 (R177C), to be most impaired in its proteolytic activity and trafficking to the cell membrane, and discovered similar functional limitations [In an interesting study, Egor Pavlenko and co-workers characteitations . FinallyYAP1 target genes and cell proliferation [Another contribution authored by Jutamas Uttagomol et al. investigferation . The curIn the only theoretical contribution, Long Li et al. proposedFinally, we are confident that these articles will readily contribute to the progress in the area of nano/biomechanics, and will further stimulate future studies dedicated to understanding the link between the mechanical properties of cells and membranes, as well as the physico-biological mechanisms and pathways involved."}
+{"text": "Besides general information including Q&As, daily case counts, and maps with disease distribution, examples of latest updates comprise: Poster: Effective hand-washing, COVID-19 - How to minimise the spread? and Considerations relating to social distancing measures in response to the COVID-19 epidemic. ECDC also publishes regular risk assessments and the The European Centre for Disease Prevention and Control (ECDC) provides regularly updated information on coronavirus disease-2019 (COVID-19) relevant to Europe on a dedicated BoxOn 31 December 2019, a cluster of pneumonia cases of unknown aetiology was reported in Wuhan, Hubei Province, China. On 9 January 2020, China CDC reported a novel coronavirus as the causative agent of this outbreak, which is phylogenetically in the SARS-CoV clade. The disease associated with the virus is referred to as novel coronavirus disease 2019 (COVID-19).As of 11 March 2020, 118,598 cases of COVID-19 were reported worldwide by more than 100 countries. Since late February, the majority of cases reported are from outside China, with an increasing majority of these reported from EU/EEA countries and the UK.The Director General of the World Health Organization declared COVID-19 a global pandemic on 11 March 2020.All EU/EEA countries and the UK are affected, reporting a total of 17,413 cases as of 11 March. Seven hundred and eleven cases reported by EU/EEA countries and the UK have died. Italy represents 58% of the cases and 88% of the fatalities (n=631). The current pace of the increase in cases in the EU/EEA and the UK mirrors trends seen in China in January-early February and trends seen in Italy in mid-February.In the current situation where COVID-19 is rapidly spreading worldwide and the number of cases in Europe is rising with increasing pace in several affected areas, there is a need for immediate targeted action. The speed with which COVID-19 can cause nationally incapacitating epidemics once transmission within the community is established, indicates that in a few weeks or even days, it is likely that similar situations to those seen in China and Italy may be seen in other EU/EEA countries or the UK.There are no vaccines available and there is little evidence on the effectiveness of potential therapeutic agents.In addition, there is presumably no pre-existing immunity in the population against the new coronavirus and everyone in the population is assumed to be susceptible. Clinical presentations of COVID-19 range from no symptoms (asymptomatic) to severe pneumonia; severe disease can lead to death. While the majority of cases (80%) are milder respiratory infections and pneumonias, severe illness and death is more common among the elderly with other chronic underlying conditions, with these risk groups accounting for the majority of severe disease and fatalities to date.The risk of severe disease associated with COVID-19 infection for people in the EU/EEA and UK is currently considered moderate for the general population and high for older adults and individuals with chronic underlying conditions, based on the probability of community transmission and the impact of the disease. The risk of healthcare system capacity being exceeded in the EU/EEA and the UK in the coming weeks is considered high. The impact and risk assessment on health system capacity can be mediated by the application of effective infection prevention and control and surge capacity measures.The risk of transmission of COVID-19 in health and social institutions with large vulnerable populations is considered high. The impact of transmission in health and social institutions can be mediated by the application of effective infection prevention and control and surge capacity.The EU/EEA and the UK are quickly moving toward a scenario of sustained community transmission of COVID19. The situation is evolving very quickly and a rapid, proactive and comprehensive approach is essential in order to delay transmission, as containing transmission to local epidemics is no longer considered feasible. A rapid shift from a containment to a mitigation approach is required, as the rapid increase in cases, that is anticipated in the coming days to few weeks may not provide decision makers and hospitals enough time to realise, accept and adapt their response accordingly if not implemented ahead of time. Measures taken at this stage should ultimately aim at protecting the most vulnerable population groups from severe illness and fatal outcome by reducing transmission and reinforcing healthcare systems.Given the current epidemiology and risk assessment, and the expected developments in the next days to few weeks, the following public health measures to mitigate the impact of the pandemic are necessary in EU/EEA countries:Social distancing measures should be implemented early in order to mitigate the impact of the epidemic and to delay the epidemic peak. This can interrupt human-to-human transmission chains, prevent further spread, reduce the intensity of the epidemic and slow down the increase in cases, while allowing healthcare systems to prepare and cope with an increased influx of patients.Such measures include:the immediate isolation of symptomatic persons suspected or confirmed to be infected with COVID-19;the suspension of mass gatherings, taking into consideration the size of the event, the density of participants and if the event is in a confined indoor environment;social distancing measures at workplaces ;measures in and closure of schools, taking into consideration the uncertainty in the evidence of children in transmitting the disease, need for day care for children, impact on nursing staff, potential to increase transmission to vulnerable grandparents;cordon sanitaire of residential areas with high levels of community transmission.Ensuring the public is aware of the seriousness of COVID-19. A high degree of population understanding, solidarity and discipline is required to apply strict personal hygiene, coughing etiquette, self-monitoring and social distancing measures. Community engagement and acceptance of stringent social distancing measures put in place are key in delaying and reducing further spread.Prevention and control of COVID-19 in hospitals and long-term care facilities is an immediate priority in order to: (1) slow the demand for specialised healthcare, such as ICU beds; (2) safeguard populations vulnerable to severe outcomes of infection (3); protect healthcare workers that provide care; (4) minimise the export of cases to other healthcare facilities and the community.Every healthcare facility should initiate training for all staff and those who may be required for healthcare provision during surge capacity. Countries should identify healthcare units that can be designated to care for COVID-19 cases, to minimise transmission to non-cases and to conserve PPE. Countries and healthcare institutions should identify additional facilities that can be used for the cohorting of cases with mild symptoms, in the event that surge capacity is exceeded by healthcare facilities. The highest priority for use of respirators (FFP2/3) are healthcare workers, in particular those performing aerosol-generating procedures, including swabbing.If resources or capacity are limited, rational approaches should be implemented to prioritise high-yield actions, which include: rational use of confirmatory testing, reducing contact tracing to focus only on high-yield contacts, rational use of PPE and hospitalisation and implementing rational criteria for deisolation. Testing approaches should prioritise vulnerable populations, protection of social and healthcare institutions, including staff.National surveillance systems should initially aim at rapidly detecting cases and assessing community transmission. As the epidemic progresses, surveillance should monitor the intensity, geographical spread and the impact of the epidemic on the population and healthcare systems and assess the effectiveness of measures in place. In circumstances with capacity shortages and strict implementation of social distancing measures, surveillance should focus on severe acute respiratory infections, sentinel surveillance in outpatient clinics or collection of data through telephone helplines.A strategic approach based on early and rigorous application of these measures will help reduce the burden and pressure on the healthcare system, and in particular on hospitals, and will allow more time for the testing of therapeutics and vaccine development.What is new in this update?Updated data on the epidemiological situation in the EU/EEA and the UKRecent findings on disease and transmissibility, including during the asymptomatic periodRisk associated with COVID-19 for people from the EU/EEA and the UKRisk of local and widespread national community transmission in the EU/EEA and UK in the coming weeksRisk to healthcare systems capacity being exceeded in the EU/EEA and the UK in the coming weeksRisk of transmission of COVID-19 in health and social institutions with large vulnerable populationsOptions for preparedness and response focused on the mitigation phase, including rational measures in case of resource constraints or shortagesUpdated surveillance objectives and methods for the mitigation phase.https://www.ecdc.europa.eu/sites/default/files/documents/RRA-sixth-update-Outbreak-of-novel-coronavirus-disease-2019-COVID-19.pdfSource: European Centre for Disease Prevention and Control (ECDC). Rapid risk assessment: Novel coronavirus disease 2019 (COVID-19) pandemic: increased transmission in the EU/EEA and the UK \u2013 sixth update. ECDC: Stockholm; 12 March 2020. Available from: COVID: coronavirus disease; ECDC: European Centre for Disease Prevention and Control; EU/EEA: European Union/European Economic Area; ILI: influenza-like-illness; SARS-CoV: severe acute respiratory syndrome coronavirus; UK: United Kingdom."}
+{"text": "With its roots firmly planted in the fields of CNS autoimmunity and infection, the rapidly growing field of neuroimmunology is branching out to include almost every area of neurophysiology and neurological disease to encompass brain development and function, psychiatric illnesses, inflammatory demyelinating diseases, cancer, infections, and neurodegeneration of the central and peripheral nervous systems. The nervous system is also functionally intimately interconnected, via immune mechanisms, to multiple other processes and organ systems including systemic inflammation, gut microbiome, and chronic pain, to name a few. The scope of neuroimmunology and its implications for the understanding of human health and disease, from diagnosis through therapeutics, was highlighted during the 14th Congress of the International Society for Neuroimmunology (ISNI) 2018, and the associated 2nd Global Schools of Neuroimmunology (GSNI), held together in August 2018 in Brisbane, Australia. The richness of topics covered is further illustrated through the series of related articles presented in this special issue of Frontiers in Neurology entitled \u201cUpdate on Translational Neuroimmunology Research of ISNI 2018.\u201dThe Congress highlighted the importance taking the knowledge gained from translational research and clinical experience back into the research environment to gain further understanding of immune-mediated diseases affecting the human CNS and how to overcome them. During the meeting, dedicated symposia covered diverse topics of CNS and PNS autoimmunity, immune dysfunction, and immunotherapy, covering a wide range of neuroimmune interactions in health and disease. For example, disease topics ranged from immune-mediated conditions, such as multiple sclerosis (MS), neuromyelitis optica spectrum disorders (NMOSD), myasthenia gravis, and autoimmune encephalopathies and neuropathies, to inflammation in conditions usually thought of as neurodegenerative, such as Alzheimer's disease (AD), Parkinson's disease (PD), motor neuron diseases, neuropsychiatric diseases, as well as traumatic injuries and infections by parasites and neurotropic RNA viruses including West Nile and Zika.McCombe et al. review the emerging evidence that the peripheral immune system contributes to motor neurodegeneration in amytrophic lateral sclerosis (ALS), and implications for therapeutic targeting to manage the disease. This parallels current thinking in AD that peripheral inflammation influences inflammation in the brain. In a similar vein, Yates et al. review the current evidence suggesting that extracellular vesicles (EVs) shed from CNS cells, cross the blood brain barrier (BBB), and play a critical role in activating peripheral immune responses to traumatic CNS injury. Vilquin et al. describe the consequences of autoimmune attack against components of the neuromuscular junction in myasthenia gravis, focusing on the response of the ultimate target in this disease, the muscle. Fujii et al. turn their attention to investigating the link between allergic inflammation and neuropathic pain, describing a possible role for spinal cord glial inflammation and autoantibodies that target sensory neurons in the dorsal root ganglia.The involvement of immune mechanisms in psychiatric diseases was introduced at GSNI on the first day of the meeting and during the main meeting in talks by Lennox and Brown. In this issue, van Langelaar et al. further discuss the types of T cell-B cell interactions that might be important for MS pathogenesis, Greer et al. report that autoantibodies to the major myelin protein, proteolipid 181\u2013230 peptides, are increased in a subgroup of MS patients and that their levels positively correlate with disease severity, while Young reviews the differential effects of antibodies to the GluN1 subunit of the glutamate NMDA receptor in pathogenesis of neurological diseases.The dramatic clinical success of B cell depleting immunotherapies in patients with MS, as well as CNS diseases that involve autoantibodies such as NMOSD, has focused research on understanding the critical roles of B cells, and their interactions with T cells, in the pathogenesis of MS and other neuroimmune diseases. B cells produce antibodies, present antigens to T cells, and produce pro-inflammatory and anti-inflammatory cytokines, and all these functions can contribute to CNS autoimmunity. At the Congress, The Immunology Lecture delivered by Vinuesa was dedicated to rare mutations that contribute to systemic autoimmunity. Focus was placed on genes that control mechanisms involved in the production, selection and elimination of memory B cells and antibody production, and specifically on the role of roquin, an E3 ubiquitin ligase, in the control of B cell-T cell interactions by T follicular helper cells (TFH) . In the Neutrophils are amongst the first immune cells to reach the CNS in the MS model experimental autoimmune encephalomyelitis (EAE) and are present in the CNS during NMOSD and severe MS, but little is known of their role in disease pathogenesis. Vallieres showed that neutrophils adopt macrophage-like properties once entering the CNS in a B cell-dependent EAE model and to promote inflammation via the neutrophil-specific protease ASPRV1 . MoreoveMS research is increasingly focused on myeloid cells and CNS-resident cells such as astrocytes, microglia, and oligodendrocytes, which contribute to disease pathology through additional mechanisms likely relevant for other neurologic diseases. One topic that remains hotly debated in the MS field is the identity of the antigen-presenting cell that is responsible for reactivating T cells in the CNS, and thereby licensing them to induce demyelinating lesions, since this is a potential target for more selective therapy. Various cell types, including dendritic cells, B cells, barrier-associated macrophages (BAM), and microglia are able to present antigen to T cells in the context of MHC class II, although which one is involved in the pathogenesis of EAE and MS still remains to be identified. Important targets are also the effector molecules communicating these interactions, as discussed by Becher for (GM-CSF) .Benmamar-Badel et al. review data regarding a unique subset of microglia that is found in development, during normal aging and in diverse diseases and discuss the possible functional significance of these cells. It is clear that much more needs to be learnt regarding the differential functions of myeloid cell subtypes before these cells can be both effectively and safely targeted for therapy.The functions of CNS-resident myeloid cell (microglia) in neuroinflammation continue to intrigue researchers. Unlike their peripheral counterparts (monocytes and macrophages), microglia perform essential functions in the CNS not only in pathologic states such as in repair of tissue damage, as discussed by Popovich, but also under normal physiologic conditions, such as shaping neuronal networks and clearing debris by phagocytosis. Loss of these functions during development has been implicated in schizophrenia and potentially in autism spectrum disorders, while loss of the same functions in the context of chronic inflammation may contribute to pathology in diseases such as MS and AD. For example, Waisman reported that selective depletion of A20 (an inhibitor of the transcription factor NF-\u03baB) in microglia, was sufficient to induce spontaneous neuroinflammation and CNS infiltration by CD8+ T cells, pointing to a homeostatic function for microglia in the brain . The TAMEvidence for inflammatory functions of CNS-resident oligodendrocyte precursor cells (OPC) was presented by Ransohoff wherein IL-17-induced Act1-NOTCH1 interactions in OPC promoted the inflammatory responses, cell proliferation and inhibited OPC differentiation into mature oligodendrocytes thereby inhibiting remyelination. Genetic depletion of NOTCH1 in OPC in mice, or administration of a decoy peptide based on IL-17RA, were sufficient to inhibit Th17-induced EAE . IncreasOur current understanding of CNS immune privilege and CNS barriers, including the blood brain barrier (BBB), blood CSF barrier (B-CSF), and brain surface barrier, was reviewed by Engelhardt at GSNI and elaborated during the congress itself, where the perivascular space at the BBB was implicated as a main entry point for immune cell infiltration in MS . Brain bJogia and Ruitenberg on the significance of gut microbiota in traumatic spinal cord injury, and from Cady et al., on the importance of dietary phytoestrogens in protection in EAE and possibly MS.Well-deserved attention was given to the gut-CNS axis and, in particular, the role of gut microbiota in immune homeostasis of the brain and in triggering CNS autoimmunity. This field developed following a landmark discovery made in the field of neuroimmunology just one decade ago. Since then the functional relationships between the gut microbiome and its effects on CNS pathology driven by peripheral and resident cells have been subject to intense investigation, as introduced at GSNI by Barazini, and updated in the Congress by Wekerle, Miyake, Weiner, Quintana and Yamamura, and by recent reviews \u201318. ThisSeveral talks highlighted the neuroimmunology of infectious diseases of both the peripheral and central nervous systems, including cerebral malaria by Idro and viral infections by Klein, Pender, Basu and Yamano.Prain et al. describe a clinically-based survey of NMOSD in Australia and New Zealand, and critically evaluate different assays for anti-AQP4 and anti-MOG antibodies used in the diagnosis of NMOSD and anti-MOG associated disease, respectively. In the case of anti-AQP4 antibody seronegative NMOSD, differential diagnosis from MS might be difficult. The current status of medical imaging research in MS and NMOSD, and its role in the diagnosis and management of these two diseases was discussed at the meeting by Stankoff and Paul, and is reviewed in this issue by Kuchling and Paul. Tea et al. together with the Australasian and New Zealand MOG Study Group, discuss data analysis tools for maximizing the diagnostic power of FACs cell-based assays that detect MOG autoantibodies. Gastaldi et al. critically report the results and main shortcomings of the 2018 Italian Neuroimmunology Association external quality assessment program (EQAP), which evaluated assays using a wide range of markers including oligoclonal bands, antibodies to intracellular and surface neuronal antigens, AQP4, MOG, and myelin-associated glycoprotein (MAG) antibodies, in different assay types used by 34 different laboratories. Jiang et al., describe improved novel biomarkers in the CSF of patients with autoimmune encephalitis for differential diagnosis between viral infections and autoimmune encephalitis. Masvekar et al. investigated whether apoptotic bodies/ apoptosomes, which are vesicles released from apoptotic cells, could represent a biomarker for MS, by measuring total and cell-specific apoptotic bodies in the CSF of MS patients by FACS using annexin V and antibodies to cell-specific markers.The search for improved diagnostic biomarkers continues, and is a particular focus of articles published in this special issue. While MS is the most common inflammatory demyelinating disease of the CNS, other rare disorders include NMOSD and anti-MOG associated disease, and the need for accurate diagnosis is stressed since prognosis and treatment of these three diseases are different. In this issue, Ottoboni et al.) and The Rita Levi-Montalcini Neurobiology Lecture delivered by Bartlett 2018, and the associated 2nd Global Schools of Neuroimmunology (GSNI), highlighting new developments in this rapidly moving field, as well as unanswered research questions and unmet clinical needs. This growing body of research sets up the stage for the upcoming ISNI/GSNI 2021 meeting in Nice, France.All authors listed have made a substantial, direct and intellectual contribution to the work, and approved it for publication.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "As organisms age, many changes occur to their physiology, which in turn impact the function of multiple tissues. It is therefore critical to investigate the fundamental mechanisms of how endocrine organs shape our physiology, and how changes in our physiology affect stem cell lineages, which generate new cells for maintenance and repair of tissues/organs throughout life. This symposium will highlight the research in the laboratories of Dr. Gerard Karsenty (Columbia University) on the multiple endocrine functions of bone, of Dr. Nicholas Buchon (Cornell University) on the role of host-microbe interactions in intestinal homeostasis, of Dr. Jane Hubbard on the physiological control of the germline, and of Dr. Daniela Drummond-Barbosa (Johns Hopkins University) on how diet and adipocyte factors regulate oogenesis. As research by these and other groups illustrate, the complex physiological regulation of tissue/organ maintenance and function is not only a fascinating biological problem, but it also has implications for many diseases and other conditions that are tightly linked to our endocrine state, including aging."}
+{"text": "The psychosocial stress process model remains a dominant theoretical framework characterizing the transactions between factors affecting outcomes of informal caregivers of people with dementia (PWD). Despite widespread agreement that the model provides an important framework for understanding caregiver experiences and predicting caregiver outcomes, it is not sufficient to clarify the needs of caregivers. Needs are conceptualized as the skills and resources that could be used to ameliorate the negative impacts of caregiving and promote quality of life . Determining caregiver needs requires appreciation of the complex background, contextual, and stress-related variables described in the stress process model and requires empirically- and theoretically-driven understanding of the diverse resources, materials, and skills that individuals require for global health and functioning. In this study, we conducted a content analysis of existing measures of dementia caregiver needs (N = 54), content analysis of materials related to evidence-based dementia caregiver interventions and government reports and documents (N = 28), and semi-structured in-depth interviews with current caregivers of PWD (N = 12) to identify the personal and care-related needs of family caregivers of PWD. We propose a framework of five inter-related need categories that transact with the factors described in the stress process model, ultimately influencing functioning. In the future, we plan to test this model empirically with a nationally representative sample of caregivers."}
+{"text": "Due to their large number of applications, the pesticides pose potential toxicity risks to the non-target organisms. In recent years, the studies on the toxic effects of pesticides on non-target organisms, based on their gut microbiome and metabolome, have been continuously reported. As a dense and diverse microbial community, the gut microbiota in the mammalian gut plays a key role in the maintenance of host metabolic homeostasis. The imbalance in the gut microbiota of host is closely associated with the disturbance in the host's metabolic profile. A comprehensive analysis of the changes in the gut microbiota and metabolic profile of host will help in understanding the internal mechanism of pesticide-induced toxic effects. This study reviewed the composition and function of the gut microbiota of host, as well as the analysis methods and applications of metabolomics. Importantly, the latest research on the toxic effects of the exposure of pesticide to host was reviewed on the basis of changes in their gut microbiota and metabolic profile. Pesticides are widely used as an important mean for agricultural production. However, the pesticide residues its excessive and unreasonable use, which seriously threatens the quality of agricultural products and the safety of ecological environment . At presIn recent years, the studies on host gut microbiome and metabolomics have attracted more attention . The hosIn this study, the composition and function of gut microbiota, and the analysis methods and applications of metabolomics have been reviewed. Importantly, the effects of pesticides on the gut microbiota and metabolic profile of host were reviewed, which further emphasized on their key role in the pesticide-induced host toxicity.Firmicutes and Bacteriodetes. In addition, Proteobacteria, Verrumicrobia, Actinomycetes, Fusobacteria and Cyanobacteria are also relative abundant in the human intestines , carbon nuclear magnetic resonance spectroscopy (13C-NMR), nitrogen nuclear magnetic resonance spectroscopy (15N-NMR), and phosphorus nuclear magnetic resonance spectroscopy (31P-NMR), of which the 1H-NMR and 13C NMR are the most widely used NMR spectroscopies in metabolomics. The NMR can detect most of the endogenous metabolites in organisms, and can obtain a wealth of information about the tested samples. It provides stable results with good repeatability. In addition, the NMR has relatively simple requirements for the pretreatment of samples, and can perform unbiased and non-destructive analysis and detection of samples and gas chromatography-mass spectrometry (GC-MS) are commonly used . These tDue to the limitations in existing analysis platforms, they are not suitable for the analysis of all metabolites in a biological sample. By combining various single analysis techniques to form a joint technique, its application range becomes wider, and provides accurate information about a specific metabolome. Therefore, in the field of metabolomics research, several analytical techniques are often used to study the metabolites. There is a continuous developmental trend in the modern analytical techniques, which will promote the metabolomics research. At present, the most common example of the combination of multiple analysis techniques is the combination of NMR and MS. This method can make the full use of the advantages of various techniques for the identification of metabolites in organisms to the greatest extent. This combined method is not only used in the pesticide environmental toxicology research, but also provides an opportunity for the integration of multiple omics in system biology .https://www.metaboanalyst.ca/), HMDB (the human metabolome database) and KEGG (Kyoto encyclopedia of genes and genomes), etc. are used to interpret the biological information of metabolites. Subsequently, the p value and pathway influence value (PIV) are used to find the significantly affected metabolic pathways, and the mechanism of toxicity can be explored in-depth through the changes in metabolic pathways.After obtaining the original data by measuring the samples through the above-mentioned analysis techniques, the data needs to be preprocessed to make it suitable for the multivariate analysis. Depending on the technique used, the processing steps are slightly different . The datMetabolomics has been playing an increasingly important role in the basic research and clinical applications, and has been widely for studying the different functional states and diseases of various organisms. Li et al. collected the blood samples of 150 patients with severe obstructive coronary heart disease (CHD) and 150 healthy controls for the metabolomics analysis using ultra-high performance liquid chromatography-quadruple time-of-flight mass spectrometry (UHPLC-QTOF/MS). The study found significant changes in the metabolites of 105 CHD patients. In addition, six metabolites, including palmitic acid, linoleic acid, 4-pyridoxic acid, phosphatidylglycerol, carnitine and lithocholic acid, had a strong correlation with the CHD . Zhao et. In addition, the metabolomics technology is also widely used in the identification of food quality. As early as 2002, Brescia et al. analyzed the metabolic profile of 41 red wines from southern, central and northern Apulia, Italy, using NMR. With the help of the PCA, the wines of these three regions could be clearly distinguished. The main substances that caused differences in the wine regions were amino acids , taurocholic acid (TCA), glyco-cholic acid (GCA) deoxy-cholic acid (DCA), taurodeoxycholic acid (TDCA), glycodeoxycholicacid (GDCA), lithocholic acid (LCA), taurolithocholic acid (TLCA), and glycolithocholic acid (GLCA) and decreased that of the \u03b2-MCA (Akkermansia, and a decrease in the abundance of Desulfovibrionaceae and Lactobacillus. In addition, the metabolites, mainly related to the metabolism of purine and BCAAs and TCA cycle in feces were changed, which ultimately led to an increase in the consumption of host energy (1H-NMR analysis showed that a total of 20 fecal metabolites, mainly including succinate, SCFAs, bile acids and trimethylamine, were affected (The increasing use of pesticides year by year has attracted more attention toward their toxic effects on non-target organisms in the environment. Interestingly, many recent studies have shown that the gut microbiota plays a key role in the toxic effects of pesticides . In addihe \u03b2-MCA . In addihe \u03b2-MCA . Studieshe \u03b2-MCA . In addihe \u03b2-MCA . The pert energy . In addit energy . Similart energy . Wu et aaffected . Moreoveaffected . CurrentIn recent years, the gut microbiota of host has received more attention. Generally, the dysbiosis of gut microbiota often occurs simultaneously with the metabolic disorder of host. The studies on the health effects of host based on the changes in gut microbiota and metabolic profile have been continuously reported. In the past few decades, the pesticides have been widely used, and their toxic effects on the non-target organisms have received increasing attention. In particular, some studies have confirmed the destructive role of pesticides on the gut microbiota and metabolic profile of host. Unfortunately, most of these studies have only established a simple correlation between the pesticides and host gut microbiota and metabolic profile, while the key roles of the gut microbiota and metabolic profile host in the pesticide-induced toxic effects are still not focused. In particular, some studies have shown that some specific bacteria in gut microbiota can regulate specific metabolites or specific metabolic pathways, further affecting the host health. However, the current studies on the toxic effects of pesticides have not established a clear relationship between the specific pesticides and specific gut microbiota or metabolites. On the other hand, the key role of the gut microbiota and metabolic profile of host in the pesticide-induced toxic effect is needed to be further confirmed either by the transplantation of microbiota or the dietary supplementation of specific metabolites. In summary, this study reviewed the studies on the toxic effects of pesticides based on the gut microbiome and metabolomics of host. This review further emphasized on the role of changes in the gut microbiome and metabolomics of host in the pesticide-induced host toxic effects."}
+{"text": "Brain computer interfaces (BCI) provide a direct communication link between the brain and a computer or other external devices. They offer an extended degree of freedom either by strengthening or by substituting human peripheral working capacity and have potential applications in various fields such as rehabilitation, affective computing, robotics, gaming, and neuroscience. Significant research efforts on a global scale have delivered common platforms for technology standardization and help tackle highly complex and non-linear brain dynamics and related feature extraction and classification challenges. Time-variant psycho-neurophysiological fluctuations and their impact on brain signals impose another challenge for BCI researchers to transform the technology from laboratory experiments to plug-and-play daily life. This review summarizes state-of-the-art progress in the BCI field over the last decades and highlights critical challenges. The brain computer interface (BCI) is a direct and sometimes bidirectional communication tie-up between the brain and a computer or an external device, which involves no muscular stimulation. It has shown promise for rehabilitating subjects with motor impairments as well as for augmenting human working capacity either physically or cognitively , replace , enhance , supplement , improve , and research tool have been outlined as feasible and promising fields a comfortable and convenient signal acquisition device, (2) system validation and dissemination, and (3) reliability and potentiality of BCI the selection of the signal acquisition modality, which plays an important role in diagnosing neural states, (2) the design of feedback modality that has explicit association with the neural signal classification performance, (3) the consideration of application-specific feedback delays, and (4) the utilization of a suitable feedback modality technologies together with BCI could offer immersive experiences and have many potential applications including arts and neurofeedback experiments that involve decoding sender's cognitive intentions, translate them into commands for stimulating receiver's brain, have been explored (Pais-Vieira et al., Irrespective of the scientific breakthroughs in BCI field, there are key factors pertaining to safety, ethics, privacy protection and data confidentiality, community acceptance and socioeconomic aspects that should be considered with adequate precautions to maximize users' benefits and social impacts (Illes and Bird, Physical and mental safety of BCI users is important. Invasive procedures such as deep brain stimulation and intracortical microelectrode array may cause postoperative psychological and neurological side effects (Jotterand and Giordano, A user's expectations of achieving extended or auxiliary degree of freedom may not be fulfilled, and even the unfamiliar risk factors can diminish the accomplished advantage of using BCI Clausen, . CreatinIt is critical to introduce a suitable act for lawful utilization of BCI and preservation of privacy and confidentiality of stored data. Recent studies have demonstrated decoding of password or recognizing faces utilizing consumer-grade BCI successfully, prompting a potential concern of any illegitimate access to users' raw data and their further exploitation (Martin et al., Human Brain Project. In addition, the Brain Initiative has been announced by the White House. In our opinion, advanced understanding of basic neuroscientific phenomena will determine the structure, efficacy and applications of futuristic BCI.By creating a common networking platform for BCI researchers worldwide, the immediate proposition of a comprehensive list of universal guidelines is key to sustainable advancements of the field (Vaadia and Birbaumer, Numerous groundbreaking advances in neurosensors and computational tools herald great promise for more sophisticated and user friendly BCI systems requiring no or little maintenance. In addition to hi-fidelity signal acquisition, significant progress in signal processing and machine learning tools, their complementary roles, and high computation power and increased mobility of computers have significantly contributed in the emergence of BCI technologies. The future of BCI technology will rely greatly on addressing the following key aspects:Elucidating the underlying psychophysiological and neurological factors that potentially influence BCI performance.Designing less invasive sensors with reliable signal acquisition and resolution, while considering portability, easy maintenance, and affordability.Modeling session-to-session and subject-to-subject information transfer for the proposition of more generalized BCI models with insignificant or no calibration requirement.Establishing broad consensus on ethical issues and beneficial socioeconomic application of this technology.SS conceived the initial idea, wrote the first draft, and generated all figures and tables. KM, KA, RM, GN, and SD participated in the discussion and commented on the draft. AHK and MB provided further insight and helped SS to finalize the structure and materials. All authors read and approved the final paper.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Chinese animal industries face challenges in finding graduates with the appropriate training for the needs of a dynamic industry.The agricultural universities of China are working on methods to strengthen the specialized abilities of students to meet industry needs.The Chinese government has increased funding to encourage faculty and students to devote energy to animal science research not only in tradition field, but also in some new cross\u2013disciplinary areas, for example, artificial intelligence applications.These challenges have accelerated the formation of mutually beneficial relationships between the industries and universities but there is a long way to go.Following more than 20 years of rapid development, China is the largest producer of meat and eggs and the third-largest producer of milk in the world. Since 2016, the animal industry in China has reached a plateau in which the yields of meat, eggs, and milk increased by no more than 3% per year . MeanwhiChinese (mainland) imports of livestock and poultry products reached 36.2 billion U.S. dollars in 2019 . The SinMore importantly, animal disease epidemics heavily depress the development of a sustainable animal industry in China. For example, the spread of African swine fever (ASF) in China since 2018 caused producers to lose tens of billions (U.S. dollar) losses during 2019. In addition, hundreds of pig farms, especially mid- and small-sized farms, went out of business.To strengthen the ability of agricultural industries to withstand risk, more companies are beginning to integrate the feed industry, animal husbandry, and processing. Only powerful and integrated companies, along with some unique mid- and small- size enterprises, can survive and attain profit in China. A huge and integrated animal industry needs hundreds of thousands of employees involved in the primary and supporting industries. However, many young people prefer to move to urban areas to enjoy a convenient lifestyle rather than work on remote and isolated farms, causing a deficiency in farm labor throughout China. Considering the huge demands for qualified employees with well-trained professional knowledge, skills and interdisciplinary background, employers are willing to offer high salaries to qualified employees. Unfortunately, the candidates with a traditional background in animal science regardless of degree are at a relative disadvantage when applying for these high-salary positions due to the absence of cross-disciplinary training.To strengthen the graduates\u2019 abilities to deal with challenges and cooperate with colleagues from across branches in integrated enterprises, designing the animal science curriculum and supporting courses for the future has become a primary issue. Establishment of new courses reflecting the transformation of the industry to develop students with the following abilities would be welcomed.Application of artificial intelligence in the animal industries;Understanding experimental design, statistical analyses, interpretation of data, and scientific communication skills ;Training in biotechnology, including cell and molecular biology, genetic engineering, and fermentation engineering;Expertise and skill in nutritional strategies to keep animals healthy, minimize agricultural environmental impact and emissions, and promote production efficiency;Skills in control and prevention of infectious diseases;Animal product quality control and monitoring;Design of animal husbandry buildings and auxiliary infrastructure, including design of facilities, feed processing and conveyor systems, environmental control systems, and other engineering skills;Excellent interdisciplinary background covering animal husbandry, veterinary science, feed processing, environmental monitoring, financial accounting and analysis, and so forth.The Chinese government also annually identifies scientific issues on the frontier, including the common problems impacting the development of animal industries. They also create funding for projects addressing these priority issues through the National Natural Science Fund or other projects of national scientific programs.Issues concerning the development of animal genetic resources and breeding, control and prevention of epidemics, feed production/processing/efficient utilization, animal immunity, environmental stress and animal health, animal nutrition, application of artificial intelligent in the animal industry, animal waste processing and environmental protection, and animal behavior and animal welfare attract more financial support than has previously been available from the government and from the industries.According to the Statistical Bulletin on National Investment in Science and Technology for 2018 , the totThe government understands that investment in high-level scientific research activities of animal science and development of the full-fledged potential and ability/skills of students who will have careers in animal husbandry and related works is money well spent. Additionally, university administrators must do their best to provide facilities that encourage faculty and students to upgrade student skill sets for professional careers of the future because employment opportunities exist for well-trained graduates . To faciIn summary, it is of great importance for the university education system in China to cultivate students with professional knowledge and know-how to serve the rapidly transforming animal industry. This must be done by increasing the needed funds to promote multidisciplinary training and high-quality scientific research activities."}
+{"text": "On March 11, 2020, the World Health Organization declared the coronavirus disease 2019 (COVID-19) outbreak as a pandemic, with over 720,000 cases reported in more than 203 countries as of 31 March. The response strategy included early diagnosis, patient isolation, symptomatic monitoring of contacts as well as suspected and confirmed cases, and public health quarantine. In this context, telemedicine, particularly video consultations, has been promoted and scaled up to reduce the risk of transmission, especially in the United Kingdom and the United States of America. Based on a literature review, the first conceptual framework for telemedicine implementation during outbreaks was published in 2015.An updated framework for telemedicine in the COVID-19 pandemic has been defined. This framework could be applied at a large scale to improve the national public health response. Most countries, however, lack a regulatory framework to authorize, integrate, and reimburse telemedicine services, including in emergency and outbreak situations. In this context, Italy does not include telemedicine in the essential levels of care granted to all citizens within the National Health Service, while France authorized, reimbursed, and actively promoted the use of telemedicine. Several challenges remain for the global use and integration of telemedicine into the public health response to COVID-19 and future outbreaks. All stakeholders are encouraged to address the challenges and collaborate to promote the safe and evidence-based use oftelemedicine during the current pandemic and future outbreaks. For countries without integrated telemedicine in their national health care system, the COVID-19 pandemic is a call to adopt the necessary regulatory frameworks for supporting wide adoption of telemedicine. On March 11, 2020, the World Health Organization declared the coronavirus disease 2019 (COVID-19) outbreak as a pandemic, with over 720,000 cases reported in more than 203 countries as of 31 March. This announcement followed the declaration of a Public Health Emergency of International Concern (PHEIC) on January 30. The response strategy included early diagnosis, patient isolation, symptomatic monitoring of contacts, as well as suspected and confirmed cases, and a public health quarantine. The confinement of population and the outbreak impact on health care systems is disrupting routine care for non COVID-19 patients. In this context, telemedicine, particularly video consultations, has been promoted and scaled up to reduce the risk of transmission, especially in the United Kingdom and AustTelemedicine was shown to be helpful in previous outbreaks, including former coronavirus outbreaks such as SARS-CoV (severe acute respiratory syndrome\u2013associated coronavirus) and MERS-CoV (Middle East respiratory syndrome coronavirus), or PHEICs related to Ebola and Zika viruses ,7. BasedAn updated framework for telemedicine during the COVID-19 pandemic has been defined in Technological improvements and cost reduction of telemedicine solutions combined with both the high-speed internet and mass spread of smartphones makes it possible to apply this framework and quickly deploy video teleconsultations from a patient\u2019s home.Most countries, however, lack a regulatory framework to authorize, integrate, and reimburse telemedicine in their care delivery for all patients, particularly in emergency and outbreak situations . Two posWith the second largest burden of COVID-19 in the world, Italy does not include telemedicine in the essential levels of care granted to all citizens within the National Health Service. No formal input was given on telemedicine by health authorities, despite high pressure on health services during the first phase of the epidemic ; not untIn France, the Ministry of Health signed a decree on March 9, 2020, allowing the reimbursement of video teleconsultations and tele-expertise by the National Health Insurance (NHI), for patients with COVID-19 symptoms and those confirmed with COVID-19 throughout the country, without the need to know the patient beforehand . The decThe pre-existing telemedicine regulations also enabled primary care and hospital doctors to switch scheduled face-to-face consultations with known patients to reimbursed teleconsultations, when suitable. This model was activated in the largest national public academic hospital (AP-HP) in Paris, to encourage mass use of outpatient teleconsultations to reduce patient visits to the hospital March 13, 2020). This has been reinforced by the High Council of Public Health, which recommended prioritization of teleconsultations for people with risk factors for severe disease in primary care March 14, 2020) [, 2020. T, 2020 ,. Among gIn this context, several challenges remain for telemedicine to be globally used and integrated into the public health response to COVID-19 and future outbreaks:The integration of telemedicine into international and national guidelines for public health preparedness and response The definition of national regulations and funding frameworks for telemedicine in the context of public health emergenciesA strategy to quickly define telemedicine frameworks; use case scenarios; develop clinical guidelines; and standardize triage auto questionnaire and remote patient-monitoring algorithms for any outbreaks at local, national, or global scalesA strategy and operational plan guiding health care providers to switch to outpatient teleconsultations and increase tele-expertise and remote patient monitoringA communication toolkit to inform and educate the population on the recommended use of telemedicineA data-sharing mechanism to integrate telemedicine providers\u2019 data with epidemiological surveillanceA scientific evaluation framework and dedicated research funds to describe and assess the impact of telemedicine during outbreaksAll stakeholders are encouraged to address the challenges and collaborate to promote the safe and evidence-based use of telemedicine during the current pandemic and future outbreaks. For countries without integrated telemedicine within their national health care system, the COVID-19 pandemic is a call to adopt the necessary regulatory changes supporting wide adoption of telemedicine."}
+{"text": "The coronavirus disease (COVID-19) outbreak is rapidly progressing globally, and Italy, as one of the main pandemic hotspots, may provide some hard lessons for other countries. In this paper, we summarize the current organizational capacity and provide a pragmatic and narrative account of strategies and activities implemented by the Department of Prevention (Dipartimento di Prevenzione)\u2014the regional entity of the Local Health Authority of the Italian National Health Service in charge of public health\u2014since the beginning of the outbreak. We conduct a preliminary analysis of general strengths, weaknesses, opportunities, and threats (SWOT) of the response strategies from a local perspective. Furthermore, we provide firsthand insights on future directions and priorities to manage this unprecedented pandemic. Our case report gives a qualitative view of the healthcare response, based on the experience of frontline professionals, with the aim to generate hypotheses about factors which may promote or hinder the prevention and management of a pandemic locally. We highlight the importance of a public health approach for responding to COVID-19 and reshaping healthcare systems. The 2019\u20132020 severe acute respiratory syndrome coronavirus 2 (SARS-CoV-2) outbreak, which was first identified in Wuhan, Hubei, China, in December 2019, has resulted in an ongoing coronavirus disease (COVID-19) pandemic. Exponential increases in the number of confirmed COVID-19 cases and deaths continue to be reported globally, and necessitate awareness and proactive action .On 30 January 2020, the World Health Organization (WHO) declared the COVID-19 outbreak a public health emergency of international concern, and on the same day, the Italian government banned air traffic from China ,5. The fIn Italy, only three cases were identified at the end of January, and all involved individuals who had recently traveled to China. The first case of pneumonia due to SARS-CoV-2, without history of possible exposure abroad, was diagnosed in northern Italy\u2019s Lombardy on 20 February . Within On February 21, the Ministry of Health ordered a mandatory supervised quarantine for 14 days for all individuals who had come into close contact with confirmed cases of disease. In addition, it required a mandatory communication to the Department of Prevention\u2014the entity of the Local Health Authority of the Italian National Health Service in charge of public health\u2014in identified areas from anyone who had entered Italy from areas with a high risk of COVID-19, followed by quarantine and active surveillance . The ItaThereafter, additional social distancing measures were initially enforced in Lombardy and within areas of other affected regions. Subsequently, draconian lockdown measures were extended nationwide, through several decrees enacted by the President of the Council of Ministers, closing schools (5 March), banning public events 9 March), limiting movement of people except if motivated by proven work needs or situation of necessity , and suspending all retailing and business activities, with the exception of essential goods and production activities that were strategic or relevant to the management of the crisis (22 March) March, l,13,14. TIn March, the number of cases identified in Italy had rapidly increased, predominantly in northern Italy, although all regions of the country reported ever-increasing numbers of COVID-19 cases ,17. The Nevertheless, despite the de-escalation measures that are underway, the situation is far from normal and the Italian National Health Service has faced the worst threat since its establishment more than 40 years ago. From the beginning of the crisis, professionals of the Italian healthcare system employed in all its different settings have been fully and strenuously engaged in battling the SARS-CoV-2 outbreak. In this context, the Italian public health community has been at the forefront, fire-fighting this sweeping pandemic.With this case report, we aim to provide a general and qualitative perspective on the pandemic response implemented by the Department of Prevention , which is the operative branch of the local health authorities of the INHS in charge of public health. Drawing from the hard lessons of COVID-19 in Italy, the Western country most affected by the pandemic to date, we share a preliminary epicrisis and reflections on the current situation, as well as insights and priorities for the future. Firstly, the institutional role and activities of DPs during the initial phase of the pandemic are set out. Secondly, strengths and weaknesses, threats, and opportunities are described. Thirdly, we generate hypotheses about factors which may promote or hinder the prevention and management of a pandemic locally.Italy\u2019s healthcare system comprises a regionally organized NHS. The fundamental principles of the INHS include universal coverage, social financing from general tax revenues, and non-discriminatory access to healthcare services. The system provides largely free healthcare at point of delivery, and is regionally administered, with the central government sharing responsibility with the respective regions for healthcare services planning and delivery . At presThe Ministry of Health is the main institution responsible for public health at the national level. The functioning of the Ministry of Health is supported by several established governmental agencies. At present, the most important such agency for public health, including emergency responses, is the National Institute of Health (Istituto Superiore di Sanit\u00e0), which undertakes scientific research, surveillance, and promotion of public health practices. Within each region, the responsibility for the organization and delivery of services rests on specific geographically and population-defined institutions\u2014the Local Health Authorities . The Department of Prevention, which is one of the three \u2018pillars\u2019 of the INHS (legislative decrees no. 502 of 1992 and no. 229 of 1999), is the operative branch of every local health authority in charge of preventive medicine and public health, including pandemic response.The main functions of Departments of Prevention include prophylaxis of infectious and parasitic diseases; protection from the health risks of living environments and workplaces ; veterinary safety and health ; veterinary pharmacovigilance; hygiene of livestock production, and protection of health and hygiene of food of animal origin); food hygiene and safety; nutritional surveillance and prevention; and health promotion on noncommunicable diseases . DepartmThe epidemic scenario changed rapidly, as did the response strategy and measures. From 22 January to mid-April 2020, the Italian government enacted over 160 decrees, orders, circular letters, notices, advices, or protocols related to the COVID-19 emergency . AdditioWe summarize below the practical measures, grouped into three categories that were instituted for the containment and mitigation of the epidemic and were managed directly by the DPs.(1)Membership of local crisis task force.Epidemic risk assessment and analysis of scenarios and health system capacity .Development and updating of local emergency plans.Coordination with institutions and non-healthcare bodies .Provision of information and education to healthcare workforce .Advice for vulnerable groups , schools, and businesses.Designating dedicated facilities for isolation.Support to the local health authority for coordination and management of the crisis:(2)Contingency plan: rescheduling non-urgent activities and maintaining only essential programs , telemedicine , assignment of staff to COVID-19 tasks, and protection of the workforce.Joint integrated response with primary care teams for detection, assessment, rapid reporting, and active surveillance of suspected or confirmed COVID-19 cases.Establishment of an alert system and dedicated helpline.Information system for the management and traceability of testing.Sharing practices and data with other DPs.Internal reorganization and infrastructure:(3)Active investigation of cases and clusters and contact tracing (concentric circles approach).Deciding on the necessity for quarantine and home isolation.Swabbing and testing, especially through proximity diagnostics .Active surveillance for people under quarantine and home isolation.Implementation of orders and advice on physical distancing, environmental hygiene, mortuary police, veterinary medicine, and food safety.Guidance and controls on physical distancing and other preventive measures in different community settings .Advice and support for risk assessment and health surveillance in workplaces and other community settings .Risk communication and community engagement practices .Travel advice and screenings of travelers.Collection, analysis, and dissemination of surveillance data .Blocking and tackling:We undertook a strengths, weaknesses, opportunities, and threats (SWOT) analysis to provide a quick, pragmatic, and preliminary overview of the perceived state of response strategies and operations from the DP perspective. Such a tool has been applied elsewhere for reviewing healthcare response to COVID-19 .We drew from published literature, practical experience, and consensus brought together at short notice by a group of senior members of Italian Society of Hygiene, Preventive Medicine, and Public Health. In March and April 2020, we performed two rounds of discussion linked to two online meetings of members of the extended college of operators of Prevention, Public Health. and Medical Directorates and one additional meeting of preparation of an online webinar on the state of pandemic response in Italian regions. Themes were collected and reviewed by the authors. To generate the SWOT factors, we set a limit of seven items for each factor, and we selected only items with a full consensus among professionals on priority, generalizability, and relevance.For analyzing and discussing results, we relied on available data from: the Italian Observatory on Prevention (pre-pandemic state of DPs) , a socieWe summarize below the results of the analyses of strengths, weaknesses, threats and opportunities.National event-based surveillance and analysis for public health emergencies and laboratory capacity for detecting prioritized diseases and providing real-time data .Well-functioning national influenza surveillance network that is supported by regional reference laboratories .Consolidated experience in first-line response to infectious emergencies, including the severe acute respiratory syndrome (SARS), the influenza pandemic, and Chikungunya, as well as the measles outbreaks and epidemic meningitis.National coordination and progressive strengthening of the response, consistent with risk assessments and recommendations of the World Health Organization and the European Center for Disease Prevention and Control.Key role of DP in the governance of the emergency within the Local Health Authority.Comprehensive and integrated community-based response supported by all the units of the DP .Awareness and early activation of the public health community.Inadequacy of national and regional public health emergency preparedness as well as response planning and operations, including laboratory capacity and medical countermeasures , which lRapid change, perceived inconsistency, and bureaucratic rigmarole in technical orders and clinical protocols , sometimes due to international guidance .Non-homogenous and limited operational capacity of DP and integration with primary care.Patchwork responsiveness and communication at DP level, given the time needed to implement an unprecedented organized response.Reactive and \u201clocal mindset\u201d in critical thinking and \u201chomemade\u201d solutions to support operations of DPs .Sparse availability of tools for data integration and smart technologies deployable to support contact tracing, surveillance, and other public health interventions.Greater mandate and expanded capacity for preparedness planning, surveillance, and scientific advisory support from European and Italian national authorities.Rapid upgrade of national and regional infrastructure for emergency response, including increased human resources capacity and \u201cprotected\u201d supply chains.Allocation of resources and reengineering integration models and tools for robust collaboration, particularly \u201cintra-territorial care\u201d, between public health and primary care agencies.Pragmatic and action-oriented reframing of duties and powers between healthcare and other institutional authorities and politics.Accountable response supported by exponential technologies and effective policies for real-life implementation of telemedicine.Insufficient resilience of supply chains for protective equipment and other medical countermeasures.Health consequences of prolonged interruption or delay of population-based prevention programs and clinical care.Inconsistencies between regional strategies that alter the ability to set up uniform, robust planning for future responses to support overextended health and social care.Substantial countrywide social, political, and economic disruption that impacts health and social services.A proactive and targeted public health response is fundamental for interrupting human-to-human transmission chains and preventing further spread, thereby reducing the intensity of the epidemic. Therefore, in response planning, even at the local level, it is crucial that decision makers primarily understand the pandemic as a public health problem and not as a hospital (or intensive care) issue, especially after the emergency phase is over and the necessity for the containment role of hospitals is greatly diminished. The strengths and weaknesses of the local public health response during the first pandemic phase in Italy were several and varied. Support to the local health authority for coordination and management of the crisis, internal reorganization, and infrastructure guaranteed governance and stewardship for public health action. The cooperation with primary care was fundamental for managing \u201cblocking and tackling\u201d activities.Core fieldwork and labor-intensive practices for contact tracing and quarantining might have been affected by initial delays in tailoring the emergency response, multiple systemwide organizational and technological constraints, and excessive focus on symptomatic people during the epidemic\u2019s peak. In a rapidly changing epidemiologic scenario, it was essential to adapt strategies to locally available capacity and resources and pressure on healthcare services.Until we have effective vaccines and treatments, public health work will continue to be crucial for protecting people and communities.In the 14th century, starting in 1348 during a bubonic plague outbreak in medieval Italy, physicians and public health officials started to implement some of the world\u2019s first effective practices of anti-contagion measures related to social distancing and disinfection of surfaces . CurrentEvidence to date from China, South Korea, and other Asian countries , as well as data emerging from some European countries, indicates that early decisive actions may reduce community transmission . FurtherThe comparatively high rate of critical cases and deaths observed in Italy versus some other high-income countries could be attributable to: demography and epidemiological factors ,22,43, lAt the time of writing (20 April), in Italy there were almost 81,000 people in home isolation and around 1,400,000 tests performed ,19. In IItalian regional and local responses were remarkably different. The regional structure of the Italian national health service caused diverse regional responses to the emergency .A thorough scientific comparative analysis of facts and outcomes is needed. Certainly, the COVID-19 crisis exacerbated existing fault lines and vulnerabilities that everyone in the public health community has recognized and warned about for years. What we can argue is that the response was more effective and proactive where organization, qualifications and competencies, operational capacity, and territorial capillary presence of Departments of Prevention were consistent with the current national legislation and guidance for organization, practice, and allocation of resources within the Italian National Health Service. A high level of integration of public health with primary care and hospital services is another factor hindering an effective response.An interesting Italian case study on the value of a territorial response may be provided by the Veneto Region, which probably benefited from an early but circumscribed outbreak . In thisPublic health approaches, smart social distancing policies, aggressive tactics for supporting preventive measures in the community , active surveillance, contact tracing and testing, and home care as an elective setting for early clinical treatment of mild COVID-19 patients during containment and mitigation of epidemics may reduce the growth of the contagion curve, prevent the saturation in hospital services and nosocomial viral spread, decrease the number of deaths, and enable de-escalation of control measures.To act swiftly in protecting medical personnel, to avoid loss of personnel capacity and limit nosocomial virus spread.For early and smart swabbing primarily linked to epidemiological investigations, and tracing of high-yield contacts (including home testing) and risk categories .For acute respiratory infection/influenza-like illness sentinel surveillance through sentinel general practice and telephone/app helplines.For policies and rationale for rapid point-of-care diagnostic testing and seroepidemiologic population surveys.For optimizing the use and benefits of public health interventions through real-time accessibility of data and systematic evaluation.Other lessons relevant to other countries, from the difficult but nonetheless educational episode that Italy has experienced, indicate the need:We grounded our assumptions and hypotheses about the factors which promote or hinder the prevention and management of a pandemic locally on perception and data available in an emergency and rapidly changing context. In addition, Italy has a slightly different health system compared to other developed systems, and we are aware that our analysis and suggestions may not be applicable in other settings. SWOT results and discussion relied on a pragmatic exchange and consensus process and were not based on any systematic literature review or quantitative analysis. Therefore, information gathered may be oversimplified, some data overlooked, and authors\u2019 biases introduced. Despite such limitations, we believe this case report can provide a preliminary, contextualized, and comprehensive insight into the local response of the Italian Department of Prevention and the value of certain public health measures during the COVID-19 crisis. Raising awareness of the complexity of activities to perform during an epidemic crisis may help countries and public health officials in their strategic planning and on-the-ground decision making.In moving from a strict physical distancing period (Phase 1) to a staged reopening phase (Phase 2), until an effective vaccine or treatment is available (Phase 3), public health is essential in managing risks of increased transmission of COVID-19 to the health and wellbeing of the public, society, and the economy, via measures taken to reduce the spread of the disease .Therefore, after the end of lockdown, in going back to a \u201cnew normal\u201d, public health will be the key driver for informing decision-making with the engagement of all stakeholders. Measures to phase out confinement need policies and actions at local, regional, national, and international levels . During Driving and organizing boot-on-the-ground prevention and surveillance to protect vulnerable groups and the general population.Continuing to reshape the public health risk assessment and management system to ensure optimal epidemic response capacity.Continuing education and capacity building of public health workers.Standardizing terminology, communication tools, guidelines, and actionable protocols for practice.Replacing structurally bureaucratic management and low-value interventions with pragmatic local, community-based practice and scientifically sound practice.While scientific research and biomedical innovators are tackling the virus at unprecedented speed, additional systemwide priorities are:Hopefully, we will be able to ride the wave of this dramatic health crisis, transforming it into a relevant scientific and professional opportunity for hygiene and public health, building in the post-COVID-19 period a cutting-edge, attractive, and modern discipline .The community of public health physicians, health assistants, and other prevention professionals working in DPs and in other positions within the Italian NHS are fully committed to a continued timely, professional, non-fungible, and resilient action and practice exchange. Sharing experiences in the field, in addition to research, is crucial for the better management of healthcare services during the pandemic crisis for saving lives and protecting communities.The Department of Prevention is the entity of the Local Health Authority of the Italian National Health Service in charge of hygiene and public health, including the management of epidemiologic emergencies.Since the beginning of the outbreak, the work of the Departments of Prevention was crucial in supporting coordination and management of response operations at the local level, as well as supporting and managing activities of case finding, tracing and testing, and quarantining and home isolation, as well as other public health community measures .Analysis and reporting of the local response may inform understanding of complexity of actions and challenges for controlling the COVID-19 pandemic faced by public health professionals.A community-based response to COVID-19 needs public health and primary care; regional and local differences in organization and strategies may explain different outcomes.Public health work is a key driver for a safe lifting of social distancing restrictions after the end of the lockdown."}
+{"text": "Global usage of electronic nicotine delivery systems (ENDS) has been increasing in the last decade. ENDS are non-combustible tobacco products that heat and aerosolize a liquid containing humectants, with added flavorings and often nicotine. Though ENDS are promoted as a less harmful alternative to smoking, current evidence links their use to a wide range of deleterious health effects including acute and chronic lung damage. ENDS can elicit an inflammatory response and impair the innate immune response in the lungs. Exposure to ENDS flavorings results in abnormal activation of the lung epithelial cells and \u03b2-defensins, dysfunction of the macrophage phagocytic activity, increased levels of mucin (MUC5AC) and abnormal activation of the neutrophilic response (NETosis). ENDS menthol flavorings disrupt innate immunity and might be associated with allergies and asthma through activation of transient receptor potential ankyrin 1 (TRAP1). Recent studies have expanded our understanding of the relationship between the homeostasis of lung innate immunity and the immunomodulatory effect of the host-microbiota interaction. Alterations of the normal respiratory microbiota have been associated with chronic obstructive pulmonary disease (COPD), asthma, atopy and cystic fibrosis complications which are strongly associated with smoking and potentially with ENDS use. Little is known about the short-and long-term effects of ENDS on the respiratory microbiota, their impact on the innate immune response and their link to pulmonary health and disease. Here we review the interaction between the innate immune system and the respiratory microbiota in the pathogenesis of ENDS-induced pulmonary dysfunction and identify future areas of research. Global usage of electronic nicotine delivery systems (ENDS) has increased in the last decade, especially among youth and young adults . The preThe recent outbreak of electronic cigarettes, or vaping, product use-associated lung injury (EVALI) raised national concern about the harmful effects of ENDS products and constituents . SimilarThe respiratory microbiota has also shown to play a crucial role in the lung innate immunity and inflammatory response in health and disease . Recent Prevotella spp.), Firmicutes (including Streptococcus spp. and Veillonella spp.), Proteobacteria, and Actinobacteria and viral communities (Anelloviridae family) .Tropheryma whipplei in the LRT microbial immigration from the oropharynx ; (b) mic the LRT and the the LRT . A unifi the LRT .The airways epithelium provides a biophysical protective barrier and a siHaemophilus species in patients diagnosed with COPD. Thus, the respiratory microbiota interacts with the airway epithelium and phagocytic cells in a positive feedback loop to develop immunological tolerance and prevent exaggerated inflammatory responses. Further research is needed to elucidate specific mechanisms explaining immunological tolerance in the respiratory tract and to identify potential intervention targets in respiratory pathologies.According to The production of mucus and antimicrobial peptides and proteins is a key element of the innate immune system of the lung. The airway surface liquid facilitates the mucociliary transport of toxicants, microorganisms, or particulates; lubricates and hydrates the airways; and, contributes to the epithelial barrier . The muc2, immunoglobulin A, lung, and nasal epithelium clone protein, collectins (surfactant protein A and surfactant protein D), mannan-binding lectin, cathelicidins, and \u03b2-defensins in the airways (Nicotine has been shown to increase mucin production and mucus viscosity through activation of the \u03b1 airways . Nicotin airways . However airways . Inhaled airways . Further airways . Thus, nin vitro model. Moreover, ENDS flavoring chemicals play a major role on the cytotoxic effects of e-liquids and e-liquid aerosols . ExposurStaphylococcus aureus, Streptococcus epidermidis, and Micrococcus luteus (Additionally, Clapp et al. showed that exposure to cinnamaldehyde-containing ENDS might decrease the mucociliary escalator motility by reducing bioenergetic activity and may s luteus and membs luteus . ENDS mes luteus , arthrits luteus , and asts luteus . Though in vitro, animal, and human studies are increasingly showing a link between the pathophysiology of respiratory disease and the exposure to ENDS aerosols (Little is known about the short- and long-term effects of ENDS on the respiratory microbiota, their impact on the innate immune response and their link to pulmonary health and disease. Preliminary studies have expanded our understanding of the relationship between the homeostasis of lung innate immunity and the immunomodulatory effect of the host-microbiota interaction. Existing and emerging evidence from aerosols . Relatedaerosols , asthma aerosols , and cysaerosols , which aFew studies have focused on the relationship between the respiratory microbiota and the immune response to air pollutants and toxicants in the respiratory tract. in vitro and in vivo models for the realistic evaluation of the respiratory microbiota-lung innate immune response in the context of immunotoxicity studies. Further research on the pathogenesis of flavor-vaping induced lung injury must consider the respiratory microbiota as a potential mediator of the immune and the inflammatory response after exposure to toxicants.The recent EVALI outbreak in the US, coinciding with a surge in youth vaping, generated a movement in the research community to establish research priorities and address challenges to support the Food and Drug Administration and World Health Organization efforts to regulate and control ENDS . ElucidaZQT, DJO, and IR initiated the idea for writing the manuscript, reviewed the literature, and edited the manuscript. ZQT drafted the manuscript. ZQT, DJO, IR, DC, DL, and SG revised, edited, and approved the final version of the manuscript.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "The therapeutic armamentarium in Systemic Lupus Erythematosus (SLE) is expanding with the introduction of novel biologic and small-molecule agents. Complementary to randomized controlled trials, registry-based studies are advantageous due to the inclusion of a wider range of patients from daily practice and the potential for long-term monitoring of the efficacy and safety of therapies. Moreover, data from registries can be used to identify disease phenotypes that best respond to biologic agents, and to correlate clinical response with parameters such as co-administered therapies and comorbidities. In this project, we will use the configuration of the Hellenic Registry of Biologic Therapies for inflammatory arthritides in order to design a dedicated SLE module with variables pertaining to global and organ-specific disease activity, severity, flares, organ damage/outcome, comorbidities and adverse events. The second stage will involve the pilot implementation of this platform for the multicentric registration of SLE patients who are treated with belimumab. The significance lies in the development of a structured registry that enables the assessment of the disease burden and the long-term efficacy and safety of existing and future biological agents in SLE. Piloting the registry can serve as a basis for establishing nationwide collaborative efforts. Although these agents are generally efficacious in controlling the disease, still, a considerable proportion of patients fails to achieve long-standing remission.2 Importantly, conventional drugs, particularly corticosteroids, are associated with excessive toxicity risks, accrual of comorbidities and irreversible end-organ damage.3Systemic lupus erythematosus (SLE) encompasses a wide range of clinical and immunological manifestations, which makes monitoring of patients and assessment of their response to therapy a challenging task.4 have led to the expansion of the therapeutic armamentarium due to repositioning of drugs administered in other medical conditions and the increasing use of approved (e.g. belimumab6) and non-approved biologic agents. Based on the findings of recently performed controlled trials,14 a number of innovative therapies in SLE, including monoclonal antibodies and small molecules , are expected to be introduced in the near future.Scientific advancements in our understanding of the immunopathogenesis of SLE, coupled with better-designed clinical studies,16Post-marketing analysis of the efficacy and safety of new drugs is important in defining their application in routine clinical practice. In addition to the results from randomized clinical trials (RCTs), a significant amount of information can be derived from patient registries that systematically assess the effects of treatments under \u201creal-life\u201d conditions. Registries are also advantageous because they allow the inclusion of a wide spectrum of patients without the stringent exclusion criteria of RCTs , and monitoring for long-term drug efficacy and safety (including rare adverse events).In the case of SLE, which is a multifaceted, systemic auto-immune disease, data from organized patient registries may be particularly useful to approach clinically-relevant issues that cannot be easily addressed through clinical trials. These may include, for instance, the definition of disease endo-phenotypes that respond better to individual treatments, and the association between drug efficacy/safety with various disease parameters . Furthermore, collected data may help to obtain unique insights into the mechanisms of action of novel therapies.20 Likewise, large SLE registries, such as the Johns Hopkins Lupus Cohort, have provided significant knowledge with regards to the dose-dependent corticosteroid toxicity and the role of hydroxychloroquine in prevention of disease flare-ups.3 Another example is the British Isles Lupus Assessment Group (BILAG) Biologics Register of SLE patients, which has described the main features of patients who are candidates for biological treatment and has investigated the short-term efficacy and safety associated with the use of rituximab.7The value of establishing registries of patients receiving biological agents has been illustrated in inflammatory arthritides . Thus, analysis of registry-derived data has shed light on topics such as the identification of clinical factors that are predictive of treatment response, the safety of biologics in terms of the risk for latent infections and malignancies, the use of sequential therapies (\u2018switches\u2019), the main causes of drug discontinuations and other.To date, there is no structured platform for registering SLE patients in Greece under biologic therapies, and, accordingly, there is paucity of data on the indications, long-term efficacy and safety of these agents in real-life clinical settings. In this study, we seek to establish and implement a pilot system for the electronic registration and monitoring of patients with SLE who are treated with existing biologic but also, future novel therapeutics agents.The aim of the present study is to establish and run a pilot study of an electronic registry for monitoring SLE patients who are treated with novel/biologic therapies. The study has multicentric, prospective design with two implementation stages.This is a prospective study that will be performed at the Rheumatology Clinic, University of Crete Medical School and University Hospital of Heraklion (involved at stages I and II of the protocol) in collaboration with the Rheumatology Units/Clinics of the \u201cAttikon\u201d University Hospital, \u201cLaiko\u201d General Hospital, General Hospital of Asklepieion Voula, Hippokration University Hospital of Thessaloniki, and \u201cSismanogleio\u201d General Hospital (involved at stage II of the protocol). The study has been approved by the Ethics Committees of the participating centers.17 following amendments to capture at each visit: the dosage of main and secondary treatments, general and organ-specific indices of SLE disease activity, flares, organ damage, health-related quality of life and functional status, comorbidities, adverse events and causes of drug discontinuation (outlined below).The first stage (0\u20136 months) of the protocol includes the design of a specialized electronic platform (registry) for patients with SLE. The development of the registry will be based on the configuration and software of the existing registry of patients with chronic inflammatory arthritides who are treated with biologic agents ,21 SLICC 2012,22 EULAR/ACR 201923) for SLE, and b) already receive or are started on belimumab, which represents the single approved biologic agent in SLE.24The second stage (7\u201330 months) of the protocol will include the pilot use of the electronic registry for the multicentric enrolment and longitudinal monitoring of patients who meet the following inclusion criteria: a) fulfil at least one of the three classification criteria , attainment of low disease activity and remission states, the co-administration of glucocorticoids and other treatments, major events (comorbidities) and adverse events (outlined below).We also plan to update the long-term efficacy and safety data of a previously published cohort of patients.http://web-new.ics.forth.gr/ceha/). This is a web-based platform with secure connection, anonymised entry of patient data, encrypted data storage in line with the General Data Protection Regulation (GDPR) and ability to export selected data for further analysis. The SLE registry module will be based on the structure and configuration of the Hellenic Registry of Biologic Therapies for patients with inflammatory arthritides.17An online software is under development at the Rheumatology Clinic, University of Crete Medical School, in collaboration with the Centre for eHealth Applications and Services (CeHA) at the Institute of Computer Science, Foundation for Research and Technology \u2013 Hellas (ICS-FORTH) Date of diagnosis21 SLICC 2012,22 EULAR/ACR 201923)SLE classification criteria based on BILAG-defined organ activity,Disease activity pattern 27 Physician Global Assessment [PhGA]28)Global activity indices Organ-specific activity indices Disease flares (SELENA-SLEDAI Index30 and remission31Definitions of Lupus Low Disease Activity State (LLDAS)32)Irreversible organ damage (SLICC/ACR Damage Index33)Functional status Comorbidities : detailed record of medications and administered forms/dosagehttps://www.meddra.org/faq/meddra-general), treatment discontinuationsAdverse reactions and events and/or at regular (6-month) follow-up intervals:Each participating centre will be granted access to the electronic platform (registry) with unique credentials in order to enter their own patient data. As this is a pilot implementation of the registry, we aim to enrol a total of 60 SLE patients under treatment with belimumab, which will allow to obtain statistically robust results.A single export of merged patient data from all centres will be obtained for statistical analysis (months 31\u201336). Descriptive results on demographics, proportion of patients with partial or complete clinical response, attainment of LLDAS and remission/flares will be calculated. Efficacy will be correlated with baseline clinical and demographic characteristics. Safety will be assessed according to occurrence of major events. Treatment survival and reasons for discontinuation will also be evaluated.Registries of patients with chronic rheumatic diseases receiving biological therapies have provided significant insights regarding their long-term efficacy and safety in \u201creal-life\u201d clinical practice. In recent years, biological agents such as belimumab and rituximab have been introduced in the treatment of SLE, and based on the results from ongoing clinical trials, it is likely that additional innovative therapies may be added in the near future. The importance of this project lies in the development and pilot use of a dedicated electronic registry of patients with SLE who are treated with novel/biologic therapies, which will enable the detailed monitoring of drug efficacy and safety by the use of validated clinical instruments . Moreover, the registry will help to assess the burden of the disease among contemporary SLE patients who are seen at large Rheumatology Centres in Greece, as well as the long-term retention rates of the biological agents used in SLE such as belimumab. Importantly, the successful pilot implementation of the registry could pave the way for establishing broader collaborative projects at a national level."}
+{"text": "Sporotrix sp. He also had pulmonary involvement and therefore the disease was classified as systemic sporotrichosis, a rare form that usually affect patients infected with HIV. Chronic alcohol abuse was considered the factor of immunosuppression for the patient.A 44-year-old male patient presented with nodules that evolved with inflammation, following drainage of seropurulent secretion and ulceration. The patient had a 6 year-history of alcohol addiction and reported contact with cats. At the physical examination, the patient had skin-colored and erythematous nodules, and ulcers covered with thick, blackened crusts on the face, trunk and limbs. A culture of a nodule fluid revealed growth of Sporothrix. Approximately 80% of the affected patients present the lymphocutaneous form. However, in patients with immunosuppression, disseminated forms can occur.2Sporotrichosis is a subacute or chronic subcutaneous mycosis caused by dimorphic fungi of the genus A 44-year-old male patient, presented with subcutaneous nodules that developed inflammation, following drainage of seropurulent secretion and ulceration. The patient had a 6 year-history of alcohol addiction. He denied comorbidities, although he reported prolonged contact with cats of unknown origin.At the physical examination, the patient had skin-colored and erythematous subcutaneous nodules, and ulcers covered with thick, blackened crusts on the face, trunk and limbs .Figure 1Due to compatible epidemiological history and the evolution pattern of the lesions, the main diagnostic hypothesis was sporotrichosis.Sporotrix sp. after 5 days did not show any abnormal results, and the serology test results were negative.High-resolution chest CT revealed atelectasis, ground-glass infiltrate, hilar lymphadenopathy and pleural effusion in both lungs.The disease was classified as systemic sporotrichosis, according to the classification recommended by Orofino-Costa et al,Patient was treated with amphotericin B lipid complex for 28 days, followed by itraconazole, during 11 months and had a good response, with healing of ulcers and without relapses in a 6-month follow-up.S. brasiliensis is the main (88%) etiological agent of human and animal sporotrichosis.The feline zoonotic transmission of sporotrichosis was observed in the 1990s in the State of Rio de Janeiro, Brazil, which is currently considered to be a hyperendemic area. In the South and Southeast Brazilian regions, Systemic forms are rare and usually affect immunocompromised individuals, mostly those with HIV .Chronic alcohol abuse results in lymphopenia and chronic activation of the T-cell pool, which may alter the T-cell ability to expand and respond to pathogenic agents, inducing to an anergy state and, changing Th1 and Th2 response.S. brasiliensis is the most virulent species of this genus, due to its ability to invade tissues and lead one to death.5Th1 response is considered as the main control factor of fungal infection. In addition to patient immunosuppression, we should emphasize that The high prevalence of alcohol abuse in the Brazilian population, estimated at 13.7%, and the increasing zoonotic transmission of sporotrichosis may lead to an increase in the prevalence of disseminated forms of the disease.Our report corroborates the association previously reported by others between alcoholism and the spread of sporotrichosis.10None declared.Norami de Moura Barros: Approval of the final version of the manuscript; conception and planning of the study; elaboration and writing of the manuscript; obtaining, analysis, and interpretation of the data; intellectual participation in the propaedeutic and/or therapeutic conduct of the studied cases; critical review of the literature; critical review of the manuscript.Allen de Souza Pessoa: Approval of the final version of the manuscript; conception and planning of the study; elaboration and writing of the manuscript; obtaining, analysis, and interpretation of the data; intellectual participation in the propaedeutic and/or therapeutic conduct of the studied cases; critical review of the literature; critical review of the manuscript.Arles Martins Brotas: Conception and planning of the study; obtaining, analysis, and interpretation of the data; effective participation in research orientation; intellectual participation in the propaedeutic and/or therapeutic conduct of the studied cases; critical review of the literature; critical review of the literature.None declared."}
+{"text": "Since the first COVID-19 case importation on January 23, Vietnam is now the only country in the world contain the epidemic with 268 confirmed cases (52 active and 216 recovered) with no deaths over the past three months. Being proactive in contact tracing and restrict quarantine of multiple clusters early are common policies that helped Vietnam efficiently control the spread of COVID-19. However, they are resource-intensive while the country has a limited capacity for massive testing. How to ensure surveillance and detection at the grassroots level, especially in rural and remote areas, is a critical question that is challenging not only Vietnam but also other low- and middle- income countries. In this viewpoint, we first summarize the roles and responsibilities of the network of village health workers over its long history of development in Vietnam. Thereafter, we discuss the functionalities of this informal taskforce in monitoring COVID-19 epidemic and delivering packages of interventions, especially in disadvantaged settings.Sharing a borderline of nearly 1400 km with China, it has been speculated that the northern mountainous region of Vietnam is at substantial risk of COVID-19 transmission . The regIn Vietnam, village health care is part of the grassroots health system and playing an important role in primary health care (Understanding the important role of village health care in primary health care in the community, Vietnamese government and Ministry of Health issued a number of decisions on strengthening and empowering the grassroots health care network, including village health services. The Health Minister's Decision No. 3653 on November 15, 1999 of the Health\u2019s Minister defined the functions and tasks of village health workers, which provided village health workers with clear guides on their functions and duties in the care and protection of people's health. The decision introduced five major responsibilities of village health workers, namely health education and communication, instruction of performing hygiene for disease prevention, maternal and child health care and family planning, first aid and basic medical care, and implementation of health programs . AccordiCOVID-19, which is caused by the new strain of coronavirus SARS-CoV-2, is an infectious respiratory disease that can result in pneumonia in humans . InfecteIn the fight against COVID-19, it is essential to mobilize existing resources and provide materials and skills as well as lean management for at-risk communities to efficiently detect early signs of localized transmissions, identify infected areas and effectively quarantine them. In order to do so, Village Health Collaborators should be quickly equipped with knowledge and skills in COVID-19 control and prevention through multilingual training materials delivered by both local and national trainers. Governors should set up mechanisms and protocols for information exchange, data synthesis, sample collection, and surveillance. It is also important to notice that some important skills are missing, including the identification of mental health symptoms, mapping most vulnerable groups, such as the elderly, the poor, etc. and community-based rapid risk assessment. Counselling and social support should also be incorporated as parts of comprehensive approaches for those living in disadvantaged areas."}
+{"text": "This mini-review focuses on the emergence of locomotor-related movements in early infancy. In particular, we consider multiples precursor behaviors of locomotion as a manifestation of the development of the neuronal networks and their link in the establishment of precocious locomotor skills. Despite the large variability of motor behavior observed in human babies, as in animals, afferent information is already processed to shape the behavior to specific situations and environments. Specifically, we argue that the closed-loop interaction between the neural output and the physical dynamics of the mechanical system should be considered to explore the complexity and flexibility of pattern generation in human and animal neonates. Locomotor function bridges the entire life span but its development during fetal age and the first post-natal years of life is crucial for the acquisition of mature behavior. Where does locomotor behavior start? This question, suggesting a developmental continuity, is a central and long-standing issue , sensory signals originating in the limbs, and supraspinal signals (Grillner, During the early postnatal period, the locomotor-related movements also exhibit remarkable plasticity (Altman and Sudarshan, Based on the striking similarities in the early development of locomotion across mammalian species (Garwicz et al., More recently, Sylos-Labini et al. suggestein vitro, called fictive locomotion (e.g., Matsushima and Grillner, To date, numerous experimental paradigms examine the development and early plasticity of locomotion Even if the afferent information is used to a limited extent to adapt motor behavior to specific environmental contexts in neonates (Hadders-Algra, The first years of life represent an important phase of maturation of the central nervous system, processing of sensory information, and posture control. Also, many constraints evolve during the first year, such as the muscle-to-fat ratio in lower-limbs (Thelen et al., In particular, studies showed considerable changes in muscle activity with age. For example, agonist-antagonist muscle co-activation during stepping decreases as age increased from 1 to 12 months (Teulier et al., Such spatiotemporal reorganization of the locomotor output has already been investigated during infancy, highlighting how the rudimentary locomotor-related movements of neonates evolve into mature sophisticated ones (Lacquaniti et al., The elements observed in infancy are not discarded but instead become adapted, in parallel with changes in locomotion biomechanics (Dominici et al., The fine-tuning and reshaping of activation patterns of the multiple precursors in the first year of life stems in part from a functional reorganization of interneuronal connectivity, growing integration of supraspinal, intraspinal, and sensory control (Forssberg, Human infants also appear to be sensitive to transient changes in sensory input and respond to it appropriately (Yang et al., Less insight is available on the role of experience in the developmental process in human neonates during the postnatal period. In animals, motor experience during the prenatal and postnatal period has consequent developmental implications Provine, . Also inIn this mini-review article, we highlight the need to increase our understanding of the fine-tuning and reshaping of multiple precursors during the development of mature locomotor movements. Since motor coordination in the neonate is already punctuated by developmental plasticity, early responsiveness to environmental context could potentially be used to diagnose developmental disabilities, but also to design and test early therapies. By calling attention to experience-dependent development of the motor system, we hope this will inspire future studies on the control of movement during early development.All authors contributed to the article and approved the submitted version.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Trypanosoma cruzi infection, is considered nonendemic in the United States of America , assuming that this chronic affection\u2019s epidemiology is different from that of Latin American countries. The attention is mostly focused on blood bank screening, organ donation, and vertical (mother to child) transmission [T. cruzi, particularly in the light of a recent acknowledgment about the role that vectorial transmission may have on the CD in the USA. A low awareness among physicians about CD risk besides its migratory origin can contribute to an existing underreporting rate, thus masking the accurate estimation of CD burden in the USA [Human Chagas disease (CD), caused by the smission . This apT. cruzi infections in immunocompetent individuals can pass undiagnosed and undetected among residents [Cases of autochthonous infection in the USA are not accurately tracked since it is only mandatory to report it in seven states, i.e., Arizona, Arkansas, Louisiana, Mississippi, Tennessee, Texas, and Massachusetts . Howeveresidents . In the esidents . This anAlthough imported CD cases are undoubtedly a matter of concern, there are also environmental conditions leading to autochthonous infections . New encT. cruzi infection risk components because there are parasite reservoirs among wildlife species and vectors living in contact with humans [T. cruzi transmission might resemble those of other endemic areas. Surveillance of infection prevalence among local populations of Triatominae is critical for accurate assessment of the public health risk. We attempt to contribute to this with an extensive historical literature review of records of autochthonous T. cruzi and human-related data for CD in California. This method of review provides a contemporary account of this topic\u2019s breadth of knowledge. There has been no recent review of this theme at the state level to the best of our knowledge, as has already been conducted in some other states, such as Texas [It is essential to improve our knowledge of h humans . This isas Texas .T. cruzi in triatomines, mammals and humans (CD), and human-triatomine interaction for California counties. We found 62 articles published between 1916 and 2018 encompassing 35 countries , followed by Triatoma rubida and Paratriatoma hirsuta.Between 1916 and 1930, counties , rangingThe first report of domestic incidence was recorded in the 1940s. In 38.8% of the publications reporting collection site for triatomines (19/49), at least one was collected inside human habitation. Domestic triatomine incidence was associated with dispersion from the vicinity of residences in semirural, canyon, or mountain-foothill areas ; during the monsoon, houselights are attractive to triatomines, especially while mating and/or seeking blood-meals.Twenty-two publications reported 164 triatomine bites and ensuing anaphylactic reactions among residents of 11 California counties , 80% of In publications around the 1950s, the bulk of domestic triatomines reports and human exposure came from residents\u2019 testimonies, from Kern, Riverside, Fresno, and San Diego counties, and from descriptions of clinical cases . AlthougT. protracta saliva. Along with this, human blood-meals have been found in free-roaming triatomines [Research on human-triatomine interaction in California involved two surveys conducted 50 years apart. The State Department of Health conducted a study in 1962 in Mariposa and Tuolumne counties that recorded more than 101 bite cases. In 2012, Los Angeles\u2019 residents reported bites resembling the swelling produced by triatomines, and rural residents in Santa Barbara were found with immunoglobulin G (IgG) against the atomines .In 1982, the first autochthonous human case of CD was reported for California in Tuolumne county: a 50-year-old woman from Lake Don Pedro . ThereafT. cruzi in California is the first one in more than 50 years. A temporal analysis of the publications shows an early scientific effort to compare some endemic areas; 80% of the articles were published before the early 1980s have led to an increasing encroachment upon the natural habitat of triatomines and their mammal hosts. This might raise the chances of triatomine domestic incidence due to their flexibility in habitat and host requirements, including dogs and other mammals . Examples of Triatoma sanguisuga in Louisiana came after the disruption of hurricane Katrina; there was a change of infestations in human dwellings [Socioenvironmental changes of the last five decades in California have not been followed by research on their effects on human-triatomine interaction and wellings .T. cruzi distribution in California. This is due to the scarcity/absence of records in some areas and early discovery of the association triatomine-woodrat that might be biased to the field research. An ecological niche modeling approach of the geographic distribution of vector species indicates favorable host habitat in many unsurveyed regions of California [County-level maps of reports only partially reflect the lifornia .T. cruzi and CD needs research/intervention on the:Our review in California highlights that a critical and accurate assessment of the public health risk for T. cruzi infection for further robust analysis on habitat suitability and risk due to socioenvironmental changes;Spatial modeling of pattern occurrences of triatomine and Dynamics and mechanisms of transmission: spatial variation of triatomine activity, infection levels and their reliance on humans-blood, dynamics of dispersal flights and free-roaming triatomines feeding habits;Identification of sylvatic, synanthropic, and domestic animal blood-sources and determination of infection variability;T. cruzi circulating strains and an analysis of the parasite\u2019s genetic variation;Identification of the Large-scale systematic programs of active surveillance, rigorous population-based data collection, and comprehensive assessment to determine infection prevalence and morbidity to identify factors that might inform policy and program-driven actions, especially among the vulnerable (impoverished residents living in substandard housing);Improvement of local knowledge local about epidemiology and ecology and the criteria for public health promotion to raise awareness among residents, physicians, and clinicians;Active screening of heart failure patients, hunters/campers, and pregnant women; andContinuing medical education programs on diagnosis and treatment among physicians.S1 Text(DOCX)Click here for additional data file."}
+{"text": "The beneficial effects of oxytocin on infarct size and functional recovery of the ischemic reperfused heart are well documented. The mechanisms for this cardioprotection are not well defined. Evidence indicates that oxytocin treatment improves cardiac work, reduces apoptosis and inflammation, and increases scar vascularization. Oxytocin-mediated cytoprotection involves the production of cGMP stimulated by local release of atrial natriuretic peptide and synthesis of nitric oxide. Treatment with oxytocin reduces the expression of proinflammatory cytokines and reduces immune cell infiltration. Oxytocin also stimulates differentiation stem cells to cardiomyocyte lineages as well as generation of endothelial and smooth muscle cells, promoting angiogenesis. The beneficial actions of oxytocin may include the increase in glucose uptake by cardiomyocytes, reduction in cardiomyocyte hypertrophy, decrease in oxidative stress, and mitochondrial protection of several cell types. In cardiac and cellular models of ischemia and reperfusion, acute administration of oxytocin at the onset of reperfusion enhances cardiomyocyte viability and function by activating Pi3K and Akt phosphorylation and downstream cellular signaling. Reperfusion injury salvage kinase and signal transducer and activator of transcription proteins cardioprotective pathways are involved. Oxytocin is cardioprotective by reducing the inflammatory response and improving cardiovascular and metabolic function. Because of its pleiotropic nature, this peptide demonstrates a clear potential for the treatment of cardiovascular pathologies. In this review, we discuss the possible cellular mechanisms of action of oxytocin involved in cardioprotection. Our important findings highlighted the discovery of a specific OT system, including the presence of OT and the OT receptor (OTR) in the rodent and human heart . The prea neural and renaa neural . Conversa neural . Howevera neural . In facta neural .The role of OT in the regulation of blood pressure is well documented . OT reguin vitro and contain numerous cardiac progenitor cells (CPCs), which can contribute to cardiac reparative processes . Epidemiological studies have shown that death rates from cardiovascular diseases are increased in the patients with T2DM. This higher mortality rate is explained, in part, the downregulation of the pro-survival kinase pathways, disturbances in the mitochondrial permeability transition pore (mPTP), dysfunctional mitochondrial adenosine triphosphate (ATP)-sensitive potassium channel (mKATP) channels, and increased calcineurin activity, all of which are linked to loss of conditioning . The rolvia multiple mechanisms and pathways, affecting platelets, fibroblasts, endothelial cell, smooth muscle cells, and immune cells. In this regard, optimal cardioprotection likely requires the application of several combinations of additive or synergistic multitarget therapies (Coronary heart disease (CHD) in the form of acute myocardial infarction (MI) and acute coronary syndromes accounts for nearly one-third of heart disease-related deaths and disability in developed countries. Timely reperfusion of the coronary arteries after acute MI is critical for the restoration of blood flow. A reduction in infarct size can also be accomplished by subjecting the heart to repeated short periods of ischemia followed by IR . Rapid rherapies . In thisherapies . There iherapies . In rat herapies and infaherapies . Downregherapies . In addiherapies . These eherapies .1/V2 receptors) and its potential involvement on cardiac function of the G-protein coupled receptors is regulated by changes in receptor expression and resistance and local OT concentrations exposed to the OTR , which mediate the acute phase of an inflammatory response as seen in fever. The involvement of the NLRP3 inflammasome in conditions such as impaired glucose tolerance and peripheral inflammation from obesity has been reported, and evidence suggests that the inflammasome may contribute to the development of vascular and ventricular dysfunction . The mosIn addition, OT maintains the viability and morphology of CMC in the injured heart. To explain this effect, several mechanisms of action of OT in cardiac cells have been proposed. These mechanisms include decreased apoptosis, hypertrophy, and fibrosis in CMC as well as an increase in glucose uptake and oxidation. Benefits of OT also occur as a result of increased cell proliferation and differentiation of cardiac stem cells . We havein vitro model for the study of CMC in cardiac pathologies, including cardiac hypertrophy (via specific OTRs (unpublished data). This observation is consistent with the findings reported by via phosphoinositide-3-kinase (PI3K) and independent of insulin receptor signaling. This effect of OT was further increased in CMC with an uncoupler of mitochondrial oxidative phosphorylation and cGMP by NP production is a well-known mechanism that inhibits pathological hypertrophy pathway. We have reported that OT regulates this pathway in CMC hypertrophy induced by ET-1 and Ang-II. In physiological concentrations (\u223c10 nM), OT prevented hypertrophy in newborn and adult rat CMC by several mediators, including PI3K/ERK1/2/ANP-cGMP/NFAT signaling . In thisertrophy . Our worertrophy . This meIn summary, OT is produced in the cardiovascular system and is critical in the regulation of cardiac and vascular function during early development and adulthood. The major actions of OT include regulation of chronotropy and inotropy of the heart as well as vascular tone of cardiac resistance vessels. OT is also involved in blood pressure and body volume regulation via the cardiac\u2013renal axis and the release of ANP and NO. In addition to cardiovascular regulation and protection, OT exerts robust anti-oxidative and anti-inflammatory effects in CMC. In cells, OT targets mitochondria, promoting glucose uptake and reducing the effects of ROS upon reperfusion.Animal studies indicate that OT is not only a cardiovascular protective peptide but also critical for cardiovascular homeostasis and in the reduction in the severity of cardiovascular pathologies. The significance of OT in cardioprotective signaling warrants further study.MJ, TB, and JG equally contributed to the organization and writing the manuscript. All authors contributed to the article and approved the submitted version.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Dear Editor,Epidermolysis bullosa (EB) composes a group of hereditary bullous disorders in which the blisters arise spontaneously or are triggered by minimal trauma. Koebner suggested this denomination in 1886. EB is divided into four major types and several distinct clinical phenotypes, according to the level of skin cleavage, as well as clinical and molecular characteristics.2Epidermolysis bullosa simplex with mottled pigmentation (EBS-MP) is an uncommon subtype of epidermolysis bullosa simplex . It is characterized by non-cicatricial blisters, mainly at the distal extremities, and progressive mottled hyperpigmentation. Until 2013, only 15 families and eight sporadic cases had been reported, according to the data from the Hospital Infantil Universit\u00e1rio Ni\u00f1o Jesus, in Madrid, which motivated this report.The patient was a 2-year-old girl, phototype III, with a history of blistering skin since birth. On dermatological examination she had desiccated blisters on the feet, as well as hyper- and hypochromic macules scattered over the tegument with mottled appearance . NormochFirst described in 1979 by Fischer and Gedd-Dahl, EBS-MP begins in childhood and has a genetic origin. It is a basal EBS caused by a mutation in the KRT5 gene that encodes cytokeratin 5. It occurs most commonly due to a punctual heterozygous p24L mutation in the non-helical V1 domain of cytokeratin 5.2The diagnosis of this dermatosis is based on typical clinical findings, family history, immunomapping, and/or transmission electron microscopy, as well as molecular/mutation analysis when possible.Clinically, it is characterized by non-cicatricial blisters, mainly at the distal extremities, as well as progressive mottled hyperpigmentation, which does not occur at the site of the blisters and often disappears in adulthood. Some cases may be accompanied by hypopigmented macules, as could be seen in this patient. There are also reports of palmar and plantar focal hyperkeratosis. Small acral verrucous papules, onychodystrophy, and mild involvement of the oral mucosa can be observed during childhood. Uncommon findings include photosensitivity and dental disorders (caries).The differential diagnosis of EBS-MP includes other types of EBS (mainly the herpetiformis type of Dowling-Meara), Kindler syndrome, Naegeli-Franceschetti-Jadassohn (NFJ) ectodermal dysplasia, other forms of dyschromia, Dowling-Degos disease, and even atypical cases of Darier's disease with mutations in ATP2A2.4Due to the clinical hypothesis of EB and to determine the level of skin cleavage, immunomapping or transmission electron microscopy should be performed. The immunomapping has diagnostic accuracy similar to transmission electron microscopy, with the advantage of simple and fast execution and reading. It is associated with the use of monoclonal antibodies and may be considered an indirect immunofluorescence technique. In the EBS, the skin cleavage occurs in the basal layer , and fluorescence deposition on the blister floor is seen with all antigenic markers , as observed in this case.Ultrastructural analysis of the pigmented areas in this form of EBS demonstrates abundant mature melanosomes within the basal cells.Thus, this report details a rare case of a possibly sporadic EBS-MP. The authors emphasize the rarity of this subtype of EBS and its remarkable clinical characteristics favoring future diagnoses, and highlight its benign character, with no scarring or deforming lesions and regression of hyperpigmentation in adulthood.None declared.Fl\u00e1via Regina Ferreira: Approval of final version of the manuscript; conception and planning of the study; drafting and editing of the manuscript; collection, analysis, and interpretation of data; intellectual participation in the propaedeutic and/or therapeutic conduct of the studied cases; critical review of the literature; critical review of the manuscript.Carolina Fernandes Pereira: Approval of final version of the manuscript; conception and planning of the study; drafting and editing of the manuscript; critical review of the literature.Juliana Carvalho Moretto: Approval of final version of the manuscript; conception and planning of the study; drafting and editing of the manuscript; critical review of the literature.Mariana Patriota Naville: Approval of final version of the manuscript; conception and planning of the study; drafting and editing of the manuscript; critical review of the literature.None declared."}
+{"text": "Professor Daniel Noni Lantum , an AfriHe introduced several generations of doctors and public health professionals in his native Cameroon and in Africa to public health practice and directed over 500 theses. Prof Lantum is also well known for his invaluable contribution to the fight against iodine deficiency and associated disorders. His work with the World Health Organization, UNICEF, governments, non-governmental organizations (NGOs) and communities contributed enormously towards universal salt iodization, a key strategy to achieve elimination of iodine-deficiency related disorders for which he was awarded to Algepa Prize in 1996 in Paris and made him well-known in the nutrition and micro-nutrient circles. He is also known to have laid the groundwork for the creation of various faculties of medicine in Africa.Prof Lantum is also recognized for his passion for African cultural heritage. He worked tirelessly to promote African traditional medicine - that he practiced and taught unapologetically - as an important component of primary health care. Intellectual infatigable, Prof Lantum, wrote intensively in areas as diverse as education reforms, poetry, history, politics, African traditions, and religion.Prof Lantum studied Medicine at the University of Ibadan (Nigeria), graduating in 1962 with a Bachelor of Medicine and Bachelor of Surgery. He obtained a diploma in tropical medicine and hygiene at the Liverpool School of Tropical Medicine in 1965 and completed a Master (MPH) and Doctorate (DrPH) in Public Health at Tulane University (USA) in 1969 and 1970, respectively. His long and rich professional career encompasses the public sector, NGOs, and development organizations in various African countries. He was a member of numerous professional, traditional and cultural societies.In his academic career, Prof Lantum was Professor of Public Health at the Yaound\u00e9 University Centre for Health Sciences since 1970 and was appointed in 1998 as Vice Chancellor of the Bamenda University of Science and Technology (Cameroon). He received countless distinctions from various governments, organizations, and universities across Africa.Prof Lantum will be remembered for his passion to transmit knowledge and educate the younger generation, his love for people, and his enthusiasm to address protracted public health issues in Africa. His extraordinary story telling abilities - rooted in his deep knowledge of the traditions and history of his people - translated his passion for African ancestral knowledge. May his soul rest in peace.He is survived by four children and seven grandchildren.Contributions from: Dr Raoul Kamadjeu and Prof Charles Shey Wiysonge"}
+{"text": "The Special Issue \u201cNon-Destructive Testing of Structures\u201d has been proposed to present recent developments in the field of diagnostics of structural materials and components in civil and mechanical engineering. The papers highlighted in this editorial concern various aspects of non-invasive diagnostics, including such topics as condition assessments of civil and mechanical structures and connections of structural elements, the inspection of cultural heritage monuments, the testing of structural materials, structural health monitoring systems, the integration of non-destructive testing methods, advanced signal processing for the non-destructive testing of structures (NDT), damage detection and damage imaging, as well as modeling and numerical analyses for supporting structural health monitoring (SHM) systems. Engineering structures are gradually destroyed over time due to the influence of atmospheric conditions, excessive loads, and processes of natural aging. Since damage in a structural element may lead to improper operation of the whole object, various damage detection and structural health monitoring (SHM) methods have thus been investigated and developed to improve reliability and safety and to solve the maintenance problems of infrastructural and mechanical structures.The term non-destructive testing (NDT) covers a wide group of measurement and analysis techniques used in the process of assessing the current state of structural materials or elements. It is a quick and effective approach, the main advantage of which is the ability to examine the material in a non-invasive manner, without damaging or changing the composition or shape of the inspected object. In recent years, there has been growing interest in the development of non-invasive methods, including in the field of civil and mechanical engineering.The Special Issue \u201cNon-Destructive Testing of Structures\u201d has been proposed to gather the experience of civil and mechanical research communities in relation to the latest advances and trends in the field of diagnostics of structures and their components. A total of 22 papers were published in the Special Issue to touch different aspects connected with novel NDT approaches, with particular emphasis on the development of single and integrated measurement techniques, damage imaging procedures, advanced signal processing as well as modeling and numerical analyses for supporting SHM systems. A brief description of the Special Issue papers is presented below.pH(y) signal of the sample under different stresses. The fracture morphology was observed by using scanning electron microscopy (SEM). The results showed how different types of grooves influenced the magnetic intensity gradient changes [A wide range of experimental and numerical studies is reported in the papers in this Special Issue ,5,6,7,8.The second group of papers has been devoted to the condition assessment of concrete and cement-based materials and structures ,15,16,17Another group of articles concerned non-destructive testing of bridge structures ,19,20. KThe diagnostics of cultural heritage structures were the subjects of interest in the last two papers from this Special Issue ,22. TomaIn summary, the papers presented in this Special Issue concern various aspects of non-invasive diagnostics and present recent developments in the field of the diagnostics of structural materials and components in civil and mechanical engineering. Both interesting practical solutions and a significant contribution to the new approaches to NDT were achieved."}
+{"text": "Dear Editor,Cryptococcus neoformans is the etiological agent of cryptococcosis, an infectious disease that affects humans, domestic and wild animals. This pathogen is often found in pigeon excreta, possessing innumerable environmental sources.The diagnosis can be performed by analysis of cerebrospinal fluid (CSF), urine sediment, bronchoalveolar lavage fluid, wound exudates, floating node aspirate and suspected lesions biopsies.Treatment of cryptococcosis in immunocompetent and immunocompromised humans, consists of amphotericin B in combination with 5-flucitosin in disseminated infections; or with fluconazole or itraconazole, as an alternative for the treatment of cutaneous infections.Cryptococcus spp. The species identification and antifungal susceptibility were performed in the Vitek 2-Compact. The isolate was also identified by sequencing the D1/D2 domain of the rDNA using the primers NL1 and NL4 being identified as Cryptococcus neoformans (San Felice) Vuill (1901). Histopathology revealed numerous yeast fungal structures, best visualized by PAS staining (periodic acid-Schiff), with mucopolysaccharides capsules that stand out for Alcian Blue staining, with scarce inflammatory infiltrate in between disease.C. neoformans meningitis.Drug resistance, when using fluconazole, is likely to occur during prolonged suppressive treatments as in cases of This report presents the medical history of a patient with cutaneous and pulmonary alterations, which allowed the diagnosis of cryptococcosis and the appropriate treatment for it. Through this report we could highlight the importance of the differential diagnosis of infectious conditions in renal transplant patients.None declared.Deborah Lucena Markman: approval of the final version of the manuscript; elaboration and writing of the manuscript; effective participation in research orientation; critical review of the literature.Pamella Paola Bezerra de Oliveira: elaboration and writing of the manuscript; critical review of the literature.Daniela Mayumi Takano: approval of the final version of the manuscript; effective participation in research orientation; critical review of the manuscript.Idalina In\u00eas Fonseca Nogueira Cambuim: approval of the final version of the manuscript; effective participation in research orientation; critical review of the manuscript.None declared."}
+{"text": "P \u2264 0.05. Three hundred and twenty-nine responded to the questionnaire. More than half of the respondents agreed that dental X-ray is hazardous to health (60.79%), and 68.1% were familiar with ALARA (as low as reasonably achievable) principle. However, only 34% are familiar with the recommendations of the National Council on Radiation Protection (NCRP) and International Commission on Radiological Protection (ICRP). The use of lead apron and thyroid collar for patients' protection from X-ray radiation was practiced among endodontic postgraduate students more frequently as well as those who are proactive in the academic field. Undergraduate students, endodontic postgraduate students, and endodontists in the academic field were the most aware towards radiation reduction measures. The use of the preventive measures needs to be emphasized more among general practitioners, endodontic postgraduate students, and endodontists especially in governmental hospitals and private sectors.The aim of this study is to evaluate the knowledge, attitude, and perception of radiation hazard and preventive measures among dental undergraduate students, general practitioners, endodontic postgraduate students, and endodontists in Saudi Arabia. Multiple choice questions questionnaires were distributed among undergraduate and endodontic postgraduate dental students, general practitioners, and endodontists in the colleges of dentistry in Saudi Arabia, government hospitals, and private clinics. The questionnaire included sociodemographic data, assessment of the knowledge of radiation physics and biology, assessment of the practice of dental radiography, and assessment of knowledge of radiation protection. Chi-square test was used for individual and multiresponse analysis. Level of statistical significance was set at It may rnations . It has The effects of the X-ray on the living tissue are deterministic and stochastic. Both are harmful and could lead to serious complications ; therefoWe hypothesize that the knowledge and the perception of dental undergraduate students, general practitioners, endodontic postgraduate students, and endodontists on radiographic protection is high, but the attitude towards taking precautions might be low.The aim of this study is to evaluate the knowledge, attitude, and perception of radiation hazard and preventive measures of the ionizing radiation among dental undergraduate students, general practitioners, endodontic postgraduate students, and endodontists in Saudi Arabia.The present study was approved by the Institutional Review Board of Princess Noura Bint Abdulrahman University (H-01-R-059). Dental students and clinical practitioners that deal with radiography during their clinical practice were sent questionnaires related to knowledge, attitude, and perception of radiation hazard and preventive measures of ionizing radiation. The questionnaire was distributed among undergraduate and postgraduate endodontic dental students, staff, and faculty in the colleges of dentistry at King Saud University (KSU), Princess Noura Bint Abdulrahman University (PNU), King Saud Bin Abdulaziz University for Health Sciences (KSAUHS), King Abdulaziz University (KAU), King Faisal University (KFU), Imam Abdulrahman Bin Faisal University (IAU), Umm Alqura University (UQU), King Khalid University (KKU), Taiba University (TU), Qassim University (QU), Prince Sattam University (PSAU), Hail University (UOH), Almajmaa University (MU), Riyadh Elm University (REU), and Alfarabi Colleges. Moreover, it was sent to clinicians in government hospitals including Ministry of Health Dental Clinics (MOH), Security Forces Hospital (SFH), King Abdulaziz Medical City (KAMC), Prince Sultan Medical Military City (PSMMC), and private practice.The form was electronic based and distributed online through Google Forms by Twitter and WhatsApp social media platforms.The questionnaire was in the form of multiple choice questions related to the harmful ionizing radiation and protective measures. It was developed in English and a pilot test of 25 questionnaires was performed against a checklist to determine content clarity, language development, and validity. The questionnaire was divided into three sections: sociodemographic data that consisted of gender, age range, working place, years of clinical experience, and socioeconomic status. Assessment of the knowledge of radiation physics and biology, assessment of the practice of dental radiography, and assessment of knowledge of radiation protection were asked in the questionnaire.P \u2264 0.05.Data were entered into an electronic database and analyzed using SPSS version 20 . Descriptive statistics were used. For differential statistics, the chi-square test was used for individual and multiresponse analysis. Level of statistical significance was set at P < 0.05), as undergraduate students showed most of the correct answers. On the other hand, most of the respondents (81.5%) agreed that radiation from dental X-ray accumulates over time, while 64.4% agreed that damage to living tissues by radiation is due to direct and indirect effect, and 61.1% agreed that short-term effects of radiation are due to large amount of radiation absorbed over a short period of time. Only 42.6% agreed that the cause of long-term effects of radiation is the small amount of radiation absorbed repeatedly over a long period of time. Almost half the respondents (53.2%) agreed that X-rays can be reflected from the walls of the room. In these responses, there was no statistically significant difference between the different educational levels (P > 0.05).Demographic data results are summarized in Most of the respondents use radiographs frequently in different stages of their endodontic treatment, either preoperatively for case evaluation (83%), or during treatment for verification of the procedure (78.1%), or postoperatively to evaluate treatment outcome (76%).Tables P < 0.05), where the endodontic postgraduate students and endodontists were mostly taking three and more radiographs compared to less number of radiographs taken by undergraduate students and general practitioners. These results were in accordance with previous studies, where they found that the number of radiographs taken during root canal treatment varies between three to four radiographs [Successful endodontic treatment requires adjunctive tools, such as intraoral radiographs, to be used preoperatively during endodontic examination and case evaluation, or during treatment for verification of the procedure, or postoperatively to evaluate treatment outcome. In this study, the frequency of taking radiographs during dental procedure differentiate statistically between the different educational groups away from the patient at an angle of 90\u00b0\u2013135\u00b0 from the tube head (Position Distance Rule) . In 2014This study had some limitations where the number of respondents could not be controlled. Moreover, the number of respondents varied among specialities and working sectors and not equally distributed.Within the limitations of the study, it can be concluded that the knowledge of radiation hazard and preventive measures of the ionizing radiation among dental undergraduate students, endodontic postgraduate students, and endodontists in Saudi Arabia was quite fair especially in academic field. However, the radiation protection measures need to be emphasized more among general practitioners, endodontic postgraduate students, and endodontists especially in governmental hospitals and private sectors."}
+{"text": "Although oral diseases are largely preventable, they are among the most non-communicable diseases globally, and they disproportionately burden disadvantaged communities, specially within low- and middle-income nations. The COVID-19 pandemic has highlighted the social, economic, and health inequalities in our society, including the existing global oral health inequalities. There is a shortage of dentist-scientist all around the world, especially in developing countries, such as Thailand. The National Institute of Dental and Craniofacial Research (NIDCR) and Fogarty International Center (FIC), joined efforts on creating research capacity in oral health in South East Asia through the Fogarty International Center Training Program in Clinical, Public Health and Behavioral Oral Health Research for Thailand (2006\u20132016). The University of Washington (USA), Thammasat University (Thailand) and Khon Kaen University (Thailand) partnered to conduct short-, medium- and long-term training programs to build regional oral health research capabilities. Investing in research has not only impacted trainees\u2019 career development but enhanced advancement of oral health research of South East Asia. The success of partnership calls for expanding oral health research training in other low-income countries. Oral diseases are among the most common non-communicable diseases worldwide . AccordiThe number of dentists-scientists worldwide is decreasing as the new generation of dental students favor clinical paths . MotivatThe National Institutes of Health (NIH) has recognized the need to build the research training and capacity outside of the United States (U.S.) through the creation of the Fogarty International Center (FIC). FIC is dedicated to advancing the NIH mission by supporting and facilitating global health research conducted by the U.S. and international investigators, building partnerships between health research institutions in the U.S. and abroad, and training the next generation of scientists to address global health needs . By faciFIC efforts on increasing research training and capacity around the world include expanding training in policy development, implementation, and evaluation at the institutional, local, and national levels 789. Whil78The public health burden of oral diseases has influenced the development of Thai dental education. With almost 70 million inhabitants, the developing country of Thailand is an active member of the Association of South East Asian Nations interested in creating oral health research capacity and training. Since the first dental school opened in 1940, currently, there are now 12 public and 4 private dental schools offering the degree of Doctor of Dental Surgery (DDS) through 6 years of education with an additional 3 years of mandatory public service after graduating from public dental school . While gFor over 20 years, the University of Washington, School of Dentistry, has partnered with Thammasat University and Khon Kaen University to train a new generation of oral health researchers who have impacted the dental public health arena in South East Asia. As a result of this partnership, these institutions created the Fogarty International Center Training Program in Clinical, Public Health and Behavioral Oral Health Research for Thailand . By training over 200 trainees from 18 countries, this training site has brought Thailand to the international forefront of oral health research. As a result, Thai universities have become the regional resource for oral health research in South East Asia.Topics discussed in these 5-day workshops included general scientific principles in planning and carrying out clinical research projects, levels of evidence in evidence-based clinical research, study designs, principles in the design and conduct of randomized clinical trials, statistical concepts and principles in testing hypotheses, basic behavioral models and ethical issues in the conduct of research on human subjects, and research protocol writing.Junior faculty and graduate students from the two collaborating Thai institutions, as well as short-term trainees who attended previous workshops were eligible to participate in the Summer Institute in Clinical Dental Research Methods held at the University of Washington in Seattle, U.S. In addition to clinical/public health/behavioral pathways, program participants included those pursuing advanced basic sciences research and degrees. This six-week program was designed to provide a short but intensive research training program for dental school faculty and professionals interested in clinical research. Specifically, core courses included biostatistics, clinical epidemiology and study design, behavioral research in dentistry, a data analysis workshop, a short course in randomized clinical trials, and a seminar on grantsmanship.The third level of training was designed to augment and strengthen oral health research pathways in existing Ph.D. programs in Oral Science at Thammasat and Khon Kaen Universities. Trainees with English language skills spent one year in Seattle at the University of Washington to accomplish following three things: a) undertake the coursework in biostatistics, epidemiology or health services at the UW School of Public Health, that they might not have been able to access in Thailand. The kinds of coursework trainees would undertake depended on their interests, but were likely to be biostatistics courses involving design of medical studies, survival analysis, logistic regression, and analysis of correlated data; epidemiology courses on genetic epidemiology, exposure measurement, nutritional epidemiology, clinical epidemiology; and health services courses on applied community research, health program evaluation, health promotion and disease prevention, and evaluation of health program costs and outcomes; b) during the one-year stay in Seattle, trainees worked with one or more of the UW mentors on research projects they were developing to enhance their learning experiences; and c) trainees were required to plan and finalize a dissertation research project that they would work on over the period of the next year in Thailand.With the purpose to provide a perspective on the impact of the FIC and NIDCR support on creating training and research capacity in South East Asia, we conducted a survey of former trainees to inform us on their perception on how the Fogarty International Center Training Program in Clinical, Public Health and Behavioral Oral Health Research for Thailand impacted their professional paths. All the training types were rated high on a scale of 0\u20135 by the trainees Figure . Out of In Peru, the past three decades have witnessed impressive growth in biomedical research catalyzed from efforts made among local educational institutions and NIH securing international partnerships and funding through research training programs . As a reKenya is a lower middle-income Sub-Saharan country in Africa with a population of more than 48 million people. People living in poverty (36.1% of the population) have impaired overall health and are at high risk for HIV infection 13. With We aimed to provide opportunities for decreasing global oral health inequalities by investing in creating research training and capacity building in low- and middle-income countries. To this date, only one such training site has been funded by FIC targeting oral health. We need to increase our advocacy efforts to expand oral health within FIC and global health within NIDCR. With this article, we hope to provide insights on the effects of long-term investments and efforts made in building research capacity in Thailand, and to advocate to FIC and NIDCR to expand such opportunities to other low-middle-income countries."}
+{"text": "The coronavirus disease COVID-19) outbreak began in Wuhan, China, in December 2019; by March 11, 2020, it was declared a pandemic by the World Health Organization (WHO) . These gSome national specialty societies have also set forth their recommendations on the management of benign and suspicious breast lesions during the COVID-19 pandemic. The Brazilian Society of Surgical Oncology considerFor symptomatic patients with palpable breast lesions, suspicious nipple discharge, breast pain, or an abscess without a prior oncologic diagnosis, the Brazilian Society of Mastology, the Brazilian College of Radiology, and the Brazilian Federation of Gynecology and Obstetrics Associations highlight the importance of estimating how clinically suspicious lesions are defined and how imaging information impacts decision-making, particularly in patients older than 60 years . These cThese recommendations provide a detailed guide for caregivers regarding decision-making and are intended to provide the best balance between morbidity and mortality from breast disease, risk of self and healthcare team exposure to COVID-19, and consumption of health resources. With a goal of guiding service flow, triage, and treatment of benign and suspicious breast lesions in low-complexity and specialty care settings, we proposed recommendations as outlined in the flowchart in These recommendations regarding the users of the public health system are predicated on the free access and availability of safe health care facilities to mitigate risks for patients and professionals . ClinicaHealth routines and surgical algorithms are currently being reviewed and updated worldwide owing to the COVID-19 pandemic. Meanwhile, early breast disease diagnosis remains a priority in the Brazilian public health system . Here, wPurcino FAC, Ruiz CA and Costa AMM were responsible for the manuscript drafting, writing, editing and review. Baracat EC and Filassi JR were responsible for study supervision and manuscript drafting, writing, editing and review. Sorpreso ICE and Soares-J\u00fanior JM were responsible for the study conceptualization and supervision, as well as manuscript drafting, writing, editing and review."}
+{"text": "The Geriatrics and Aging Processes Research Branch of the National Institute of Mental Health (NIMH) supports research on the etiology, pathophysiology, and trajectory of late life mental disorders. The branch encourages research using neuroscience, cognitive and affective science, and social and behavioral science to translate basic and preclinical research to clinical research. The branch prioritizes research that investigates neuropsychiatric disorders of aging, how they interact with neurodevelopment/neurodegeneration, and how to assess, treat, and prevent them. Of particular interest is research on social isolation and suicide. Suicide prevention research is an urgent priority: NIMH\u2019s portfolio includes projects aimed at identifying those at risk for suicide, understanding causes of suicide risk, developing suicide prevention interventions, and testing the effectiveness of these interventions and services in real-world settings. In this talk, a NIMH program official will discuss the NIMH research agenda in the domain of late-life mental illness, social isolation, and suicide."}
+{"text": "Papillary intralymphatic angioendothelioma (Dabska tumor) is a rarely metastasizing lymphatic vascular neoplasm that usually affects children and young adults. The majority of these cases occur in soft tissues of extremities, and to date less than 40 cases have been described. Despite the generally indolent evolution, can be locally invasive with the potential to metastasize. We describe a case of a young woman presenting with a plantar lesion, for 9 months and histological diagnosis of Dabska tumor. This neoplasm should be considered in the differential diagnosis of vascular dermatoses, allowing early diagnosis and treatment. Long-term follow-up should be performed. A 35-year-old female patient sought a dermatologist, complaining of an injury to the sole of the right foot 9 months prior. She reported feeling only a slight size increase. Upon clinical examination, there was an area of violaceous staining, with poorly defined limits, on the sole of the right foot . DermoscPapillary intralymphatic angioendothelioma (PILA or Dabska tumor) is a rare vascular neoplasm, defined as low grade malignancy tumor, with high tendency of local recurrence.10None declared.Thadeu Santos Silva: Approval of the final version of the manuscript; conception and planning of the study; obtaining, analysis, and interpretation of the data; intellectual participation in the propaedeutic and/or therapeutic conduct of the studied cases; critical review of the literature.Luciana Rebou\u00e7as de Araujo: Approval of the final version of the manuscript; elaboration and writing of the manuscript; obtaining, analysis, and interpretation of the data; critical review of the literature; critical review of the manuscript.Geise Rezende Paiva: Approval of the final version of the manuscript; conception and planning of the study; effective participation in research orientation; intellectual participation in the propaedeutic and/or therapeutic conduct of the studied cases; critical review of the literature.Rodrigo Guimar\u00e3es Andrade: Approval of the final version of the manuscript; conception and planning of the study; obtaining, analysis, and interpretation of the data.None declared."}
+{"text": "The COVID-19 pandemic, a singular disruptive event in recent human history, has required rapid, innovative, coordinated and collaborative approaches to manage and ameliorate its worst impacts. However, the threat remains, and learning from initial efforts may benefit the response management in the future. One Health approaches to managing health challenges through multi-stakeholder engagement are underscored by an enabling environment. Here we describe three case studies from state , national (Ireland), and international (sub-Saharan Africa) scales which illustrate different aspects of One Health in action in response to the COVID-19 pandemic. In Ireland, a One Health team was assembled to help parameterise complex mathematical and resource models. In New South Wales, state authorities engaged collaboratively with animal health veterinarians and epidemiologists to leverage disease outbreak knowledge, expertise and technical and support structures for application to the COVID-19 emergency. The African One Health University Network linked members from health institutions and universities from eight countries to provide a virtual platform knowledge exchange on COVID-19 to support the response. Themes common to successful experiences included a shared resource base, interdisciplinary engagement, communication network strategies, and looking global to address local need. The One Health approaches used, particularly shared responsibility and knowledge integration, are benefiting the management of this pandemic and future One Health global challenges. The scope and impact of the COVID-19 pandemic is unprecedented in modern times. At the time of writing, over 10 million confirmed human cases and 0.5 million deaths from SARS-CoV-2 infection have been reported projects. The approach also integrates a systems approach to project management, communication, and data integration as well as novel application of principles of social psychology to engage stakeholders and create a culture of high emotional energy vital to collaboration and creative problem solving . TherebyIn this article, we use three case studies from different world regions to discuss elements of One Health approaches in the COVID-19 response. The three case studies are based on the authors' experiences and illustrate which of the essential One Health dimensions listed above applied in practice during the crisis. They provide examples of collaboration, shared responsibility and knowledge integration and illustrate opportunities and weaknesses.In Ireland, the National Public Health Emergency Team (NPHET) was established on 27 January 2020, to provide national direction, support and expert advice on the development and implementation of a strategy to contain COVID-19 . The firNPHET was supported by a number of expert groups, including the Epidemiological Modeling Advisory Group (IEMAG), which was established on 7 March ; see Sup. IEMAG wThe requirement for a rapid response led to a broad call to action from stakeholders with various expertise to contribute, in some cases beyond the traditional human medical disciplines. The team was chaired by a veterinary epidemiologist, with interdisciplinary membership from human public health, agriculture, veterinary medicine, food safety, disease ecology, and One Health backgrounds. Initial team selection was guided by disciplinary expertise, full-time availability (at short notice) and prior working relationships. The group's diverse interests and skills were well-suited to rapidly gathering evidence, and undertaking quantitative secondary and meta-analyses, in response to the emerging threat \u201322. In tIn terms of lessons learned, the rapid community-based aggregation of skills applied to a single acute problem should be held as an exemplar of how a distributed network of expertise can contribute in an efficient and effective way toward a goal. Interdisciplinary synergies were central to progress, both between mathematics and the life sciences and, importantly, between medical and allied disciplines. One Health perspectives predominated and there was cross-pollination of ideas and skills across disciplines to achieve efficiencies and better, more dynamic, systems. Challenges included remote working while maintaining communication and ensuring there was no duplication of effort across various NPHET subgroup teams. Furthermore, given the finite resources available, the COVID-19 response led to a temporary diversion of expertise and resource from other aspects of national animal health management. This case study is an important example of new thinking, diversity of thought, and new networks of expertise within Ireland.On 21 January 2020, the Australian Chief Medical Officer (CMO) issued a determination adding \u201chuman coronavirus with pandemic potential\u201d to the Biosecurity (Listed Human Diseases) Determination 2016. As a result, the Australian Health Protection Principal Committee, the key decision-making committee for health emergencies formed by the CMO and state and territory Chief Health Officers, was convened and daily meetings activated. In addition, national coordination was also activated for responding to the health emergency through the National Incident Room, the strategic reserve of personal protective equipment through the National Medical Stockpile and the provision of clinical and academic leadership through the National Trauma Center. Meetings of state, territory and Commonwealth health ministers to discuss pandemic readiness also started. On 25 January, Australia reported its first case of COVID-19, and the Australian Health Sector Emergency Response Plan for Novel Coronavirus (COVID-19 Plan) was implemented on 7 February . The COVEarly in the response, a One Health approach was implemented through the collaborative engagement of animal health experts, including veterinarians and epidemiologists, from NSW Department of Primary Industries (DPI) and other institutions , sharing expert knowledge. This approach is pre-defined by EMPLAN, under which a Combat Agency is nominated to lead operations and able to request support from other government areas, such as the NSW DPI. Animal health specialists worked for the Public Health Emergency Operations Center, responsible for activities such as tracing, research and providing expert advice, in the epidemiology and tracing units. In addition, the Ministry of Health liaised with other government agencies to establish remote tracing capabilities, including sharing of databases, online training and debriefs (due to the travel limitations) and the need to increase contact tracing capacity. As the responsible agency for providing agriculture and animal support during emergencies (under EMPLAN), NSW DPI as the Agriculture and Animal Services Functional Area was present within the State Emergency Operations Center throughout the response, liaising with health services with respect to animal care. Furthermore, the NSW state animal laboratory provided diagnostic services to NSW Health. NSW DPI worked with Australia's Animal Health Committee (AHC) to develop science-based, nationally consistent policy on animal health issues related to COVID-19, and supported the agriculture and animal sectors in achieving continuity of their businesses to safeguard animal health and welfare and help ensure a secure food supply . AHC devAs key learning of this response, COVID-19 highlighted the importance of a well-resourced response using a One Health approach, involving a broad range of human and animal health stakeholders and shared resources, which could then be scaled back as needed. The COVID-19 situation also highlighted the need for appropriate communication and management of animal health and welfare during human pandemics.The Africa One Health University Network (AFROHUN), formerly One Health Central and Eastern Africa (OHCEA) is a University led network of 24 public health, veterinary medicine, pathobiology and environmental health institutions and 16 universities in eight countries in East, Central and West African regions . Since its inception in 2010, AFROHUN supports institutional changes in teaching and learning environments in higher institutions that promote One Health approaches.In the absence of a global workforce, most African national COVID-19 response actions relied on national health professionals to provide the much-needed workforce in the management of the pandemic. Universities were among the key institutions that supported different national response task forces. University members served on scientific task forces with evidence-based and science-based data shaping response strategy options as the mainstream health workforce within ministries were at the forefront of the response.Between 23 March 2020 and 18 June 2020, AFROHUN through its wide continental network in collaboration with the USAID-funded One Health Workforce \u2013 Next Generation (OHW-NG) consortium led by University of California, Davis, provided a platform where network members (faculty and students), practitioners in One Health, and stakeholders virtually via ECHO and we have been active in COVID-19. The club, a multidisciplinary team of students from Makerere University and Mbarara University of Science and Technology in Uganda have been raising awareness about COVID-19 to communities and providing mental health support.\u201d Muganzi David Jolly, President, Students One Health Innovation Club, Mbarara University of Science and Technology, Uganda.\u201cI was asked to lead a team that was responsible for advising the government on the design and necessity for wearing cloth face masks in crowded places such as bus stands, markets, hospitals and places of warship. Now mask use is widespread as one of the preventive actions against COVID 19. In my leadership role, I have used some of the ideas from the AFROHUN ECHO sessions.\u201d Prof. Japhet Killewo, Professor of Epidemiology at Muhimbili University of Health and Allied Sciences (MUHAS), Tanzania.\u201cAn AFROHUN internal review identified several lessons learnt from the three months of COVID-19 sessions. The power of existing platforms, strong leadership, the combination of global and in-country perspectives and the ability of leveraging networks was highlighted, with around 200 participants and experts being part of the sessions, providing valuable multi-disciplinary, global and local in-country perspectives. The tight schedules of the task force members at the frontline of the pandemic prevented engagement of mainstream ministries in the design of the sessions. Participation of representatives from government and members from different COVID-19 task forces helped bridge this gap. Their perspectives on the issues and dynamics of the pandemic helped to shape subsequent sessions. A more efficient information flow in the national response system to reach diverse users could have enhanced the design and delivery of the sessions. Official engagement of specific task forces such as the scientific committees on the ECHO sessions could have added value.The three case studies each demonstrate important benefits from the use of One Health approaches in the management of the COVID-19 pandemic. The sharing of resources, multidisciplinary engagement and communication network strategies were common across the three case studies, in support of knowledge integration and more effective response management. Each can be placed within a One Health framework , providiWith regards to the six One Health dimensions that are described at the beginning of the paper, the three case studies all had clear sharing and learning structures in place that facilitated an exchange of data, information, and knowledge, as well as accessing and generating new knowledge through collaborative processes. All case studies described working across disciplines, but remained within the boundaries of the natural sciences and did not engage either the social sciences or the humanities. Also, wider society engagement was lacking, which meant that collaborative working remained within the multi- and interdisciplinary spheres and did not reach transdisciplinary working. Holistic planning was a key feature of case study 2, which provided a strong basis for the actions implemented. Systemic organization was dominant for AFROHUN, with the existence of a large, formal network of universities that allowed prompt recruitment of scientific experts into the response. None of the case studies explicitly described systemic thinking even though it is advocated by the WHO and the The case studies have demonstrated how expertise can be mobilized and shared quickly, given appropriate support infrastructure and in the light of the pressing needs of the pandemic. It is hoped that lessons learned can be extended to \u201cpeacetime,\u201d outside the crisis. Interdisciplinary synergies, underpinned by One Health concepts, will also be needed to manage critical global challenges, including those relating to climate change and antimicrobial resistance . To harnThe original contributions presented in the study are included in the article/BH, AB, and MH-J conceived the study. AB and SM wrote the case study 1 (Ireland). MH-J and OS wrote the case study 2 . WB and AY wrote the case study 3 (AFROHUN). All authors contributed to developing, writing, editing of the paper, and approved the manuscript for publication.JW was employed by the company Novometrix Research Inc, a social enterprise which facilitates alignment of diverse stakeholders for solutions in economic, social and environmental sustainability. JW and Novometrix Research have no financial interest in any aspect of this manuscript. The remaining authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "The national infrastructure FoodOmicsGR_RI coordinates research efforts from eight Greek Universities and Research Centers in a network aiming to support research and development (R&D) in the agri-food sector. The goals of FoodOmicsGR_RI are the comprehensive in-depth characterization of foods using cutting-edge omics technologies and the support of dietary/nutrition studies. The network combines strong omics expertise with expert field/application scientists . Human resources involve more than 60 staff scientists and more than 30 recruits. State-of-the-art technologies and instrumentation is available for the comprehensive mapping of the food composition and available genetic resources, the assessment of the distinct value of foods, and the effect of nutritional intervention on the metabolic profile of biological samples of consumers and animal models. The consortium has the know-how and expertise that covers the breadth of the Greek agri-food sector. Metabolomics teams have developed and implemented a variety of methods for profiling and quantitative analysis. The implementation plan includes the following research axes: development of a detailed database of Greek food constituents; exploitation of \u201comics\u201d technologies to assess domestic agricultural biodiversity aiding authenticity-traceability control/certification of geographical/genetic origin; highlighting unique characteristics of Greek products with an emphasis on quality, sustainability and food safety; assessment of diet\u2019s effect on health and well-being; creating added value from agri-food waste. FoodOmicsGR_RI develops new tools to evaluate the nutritional value of Greek foods, study the role of traditional foods and Greek functional foods in the prevention of chronic diseases and support health claims of Greek traditional products. FoodOmicsGR_RI provides access to state-of-the-art facilities, unique, well-characterised sample sets, obtained from precision/experimental farming/breeding along with more than 20 complementary scientific disciplines. FoodOmicsGR_RI is open for collaboration with national and international stakeholders. In recent years, there has been an increased awareness towards the evaluation of food quality and safety in relation to human health and life. Existing legislation refers to technological processes of food, safety assessment by monitoring food contaminants, characterization of food composition and the determination of characteristic food nutrients. The \u201cclassical\u201d targeted analytical procedures are still dominant; however, the holistic characterization of food products through \u201comics\u201d technologies is gaining interest and applicability. Such novel approaches can provide new indicators of food quality, i.e., geographic and/or genetic origin, processing methods, adulteration, organoleptic characteristics, freshness, and so forth. Omic technologies are increasingly employed in nutrition studies aiming to increase the marketability of food products and to demonstrate and/or monitor their beneficial effects on human health. Nutrigenomics, Nutrigenetics and Nutritional metabolomics are topics and terms that are increasingly found in the literature and the wider public media.Foodomics combinesFoodomics is applied in various R&D aspects. In the study of the origin and quality of foods, foodomics can reveal discriminatory markers and, most importantly, patterns that characterize foods according to their geographical origin or subtle pedoclimatic effects , the different legitimate or non-legitimate regimens/interventions applied by food producers . Such data are important to support marketability and branding, especially for Protected Designation of Origin (PDO) and Protected Geographical Indication (PGI) products.In food safety, foodomics research can assist in the discovery of (bio)markers and mechanisms of toxicity and facilitate the identification of potential hazards. Untargeted-holistic approaches may reveal underlying and unlooked-for mechanisms of toxicity, such as polymorphisms or sub-toxic (but increased and unwanted) concentrations of biomolecules. It can be a potential tool for the investigation of food allergies and the analysis of transgenic foods, providing further insight on the effect of unintended transformations ,3.In nutrition studies, foodomics can provide new knowledge on the effect of nutrition and the fate of nutrients in the human body; Foodomics can identify (among others) perturbations caused by certain dietary regimens and characteristic patterns that can allow the development of a personalized dietary intervention for certain groups , or patients with food-related disorders .Considering the needs for R&D in these topics, the Greek Secretariat for Research and Technology announced a call for new Research Infrastructures. To address the call, a consortium was formed and submitted a successful proposal that provided the means for the establishment of FoodOmicsGR_RI. FoodOmicsGR_RI is a distributed multidisciplinary national research infrastructure aiming to perform, assist and promote omics research in agri-food R&D fields in the Greek and international research environment. This research may have a strong impact on the Greek agri-food sector. Greece has a unique landscape at the crossroads of Europe with Asia and Africa. The land expands to distances of up to 1200 km in a mostly mountainous mainland. The country has a very lengthy coastline and close to 3000 islands. Varying types of soil , water supply and pedoclimatic conditions result in a wide array of ecosystems and landscapes that give rise to one of the highest biodiversities in Europe, especially taking into account the area of the country. Flora includes 5752 species (452 endemic subspecies); the fauna includes 23,130 animal species, of which 3956 are characterised as Greek endemics. Furthermore, 3500 marine animal species and a high number of fungi species have been recorded in the Greek marine environment. Besides, a high proportion of these species are unique worldwide and this biodiversity results in the unique composition of Greek agricultural products.Greece has been an agricultural country, where until the 1960s the majority of the population lived in rural areas as farmers, maintaining traditional habits in life, farming and cuisine. All these factors converge to create a very large collection and a very strong portfolio of unique and characteristic food products. Highlighting these characteristics through advanced technology offers a way to support quality, nutritional or health claims, increase their attractiveness and marketability, and provide added value to local products. The central scope of FoodOmicsGR_RI is to serve the needs of the agri-food producers, providing concrete, solid and comprehensive data on the composition and nutritional value of their produce.http://biomic.web.auth.gr/) with specialist groups from the same University, and groups of researchers from the Universities of Athens, Crete, the Aegean, Ioannina, the Agricultural University of Athens, the International Hellenic University and the Biomedical Research Center of the Academy of Athens. This consortium is highly complementary, comprising scientists from 17 Departments of the participating Institutes (a full list is given in the http://foodomics.gr/).FoodOmicsGR_RI is a multidisciplinary consortium that joins forces from eight Greek Universities and Research Centers. FoodOmicsGR_RI brings together BIOMIC, a new interdisciplinary analytical laboratory of the Aristotle University of Thessaloniki (FoodOmicsGR_RI core (bio)chemical analysis groups provide expertise in bioanalysis, food analysis, metabolomics, elemental metabolomics, genomics and proteomics. Central technologies include analytical separations, Mass Spectrometry , Nuclear Magnetic Resonance (NMR) spectroscopy and Inductively Coupled Plasma Spectrometry. Analytical groups collaborate with (bio)informatics groups, food (bio)chemistry groups and application-oriented researchers with expertise in fields relevant to food and nutritional sciences: animal husbandry, veterinary pathology, fishery, apiculture, plant physiology, pomology, horticulture, vine and viticulture, environmental control, natural products, nutrition biochemistry and human exercise biochemistry. The core analytical groups have the critical mass to realise cutting-edge research in their specific field. Investment in infrastructure and the As a major initiative, the governance of FoodOmicsGR_RI is a demanding task that expands at various levels. It includes the General Assembly (GA) that is composed of delegates from all involved institutions and a Steering Committee of five members from the participating institutions that manage the operation of the RI. An International Expert Advisory Board (IEAB) has been appointed with the scope to further enrich the knowledge, the experience and the network of the RI participants. The 11 IEAB members include scientists from consumer organisations, industry or other businesses, potential stakeholders, and representatives of the activities of the RI.-Consultancy services and uptake of experimental intervention for foodomics studies (food product -oriented studies) or nutritional studies.-Big Data Handling and statistical analysis by various modes and special software including bespoke scripts and algorithms.-Genomic, proteomic and metabolomic analysis of foods, food products and biological samples from nutritional studies.-Quantitative Determination of key target molecules in foods and biological samples.The facility is open for collaboration subject to the conditions detailed at the central FoodOmicsGR_RI web page with templates for access-use of infrastructure, usage policy, protocols for sampling, sample delivery, and information about the different FoodOmicsGR_RI SOPs. The services offered by FoodOmicsGR_RI can be tailor-made including all or combinations of the following:FoodOmicsGR_RI can provide support for the realization of studies on small molecules (metabolomics), and cover genetics/genomics/epigenetics and proteomic fields, offering a \u201cone stop-shop\u201d model to stakeholders and users.A detailed list of validated protocols is given in The ideas and scope of FoodOmicsGR_RI are aligned with several of Research and Innovation Strategies for Smart Specialisation (RIS3) priorities for the agri-food sector. A list of relevant priorities is given in Omic approaches can become a tool to broaden the knowledge and understanding of how biodiversity (genotypic variation) can improve food and nutrition, influencing national policies and markets. This can be achieved via the examination of other nutrient-rich crops and plant species, not yet fully utilized, or unexplored traditional cultivars , benefiting both producers and consumers.Implementation: The strategy to approach such multidisciplinary and multifaceted work is to overcome the fragmentation of research by organising paths for effective samples\u2019 analyses and, similarly, paths for data curation that combine omics approaches to provide holistic analytical results and highlight characteristic features. The outline of specific sub-projects is described in the following sections.Foodomics research requires state of the art technologies and methods but also the existence of specialists\u2019 knowledge and high-quality sample banks, which, after comprehensive analysis, can provide data for the establishment of compositional databases. Compositional databases are the best means to provide the basis for the control of real samples (food products). Our consortium started this work with an exhaustive literature review. This resulted in the publication of topical reviews on metabolomics of different foods, such as the olive drupe and olive oil ,6,7, graAdditionally, Special Issues organised by FoodOmicsGR_RI members in 2020 include the following:\u201cMetabolomics in Food Authentication: Strategies and Applications\u201d in the MDPI Molecules Journal by Prof. Thomaidis and Dr. Dasenaki (guest editors), including important foodomics-based authenticity studies.\u201cNutritional Metabolomics\u201d in the MDPI Metabolites Journal, guest-edited by Prof. Georgios Theodoridis, Dr. Christina Virgiliou and Dr. Olga Deda.\u201cMetabolomics Methodologies and Applications II\u201d, guest-edited by professor Helen Gika, in the MDPI Metabolites Journal.Following this fundamental work, the consortium works further to generate databases of the molecular and elemental composition of foods to facilitate control, stir further technological developments and discover relationships between food constituents and/or elemental signatures with properties sought by consumers and producers. The generation of such databases started by thorough data-mining and text-mining of the literature and collaboration with expert groups from the control sector. As a starting step, nine foods/food products have been studied as priority commodities: olive oil, olives, wine, milk, cheese, yogurt, honey, royal jelly and pollen. Since the scope is to generate a database of the contents of Greek foods, a filter is set to study only publications that report Greek products, and exclude publications that map products and varieties that are not found or those that do not originate from Greece. Emphasis was given to map specific varieties/types of Greek produce. To generate data for a certain food, a set of keywords was selected; i.e., for wine, this includes characteristic Greek variety names: Asyrtiko, Nemea, Xinomauro and so forth.Text mining algorithms developed in our group are used to mine the international literature for publications containing carefully selected keywords of interest. The codes seek to gather quantitative information reporting the concentration of food constituents such as elements and small molecules. This information is subsequently curated by PhD level scientists to verify its validity and relevance, with extra caution given at concentration numbers and units.The generated database is now formatted as a web-based database to be soon open to the research community. During the realization of the works of FoodOmicsGR_RI, new data will be generated from FoodOmicsGR_RI sub-projects. Sample sets are analysed by various information-rich analytical platforms. The data are fused to generate an atlas of the content of these unique samples. New analytical data will populate, control, corroborate the data in the database. This strategy improves confidence in findings, while it can also reduce the impact of confounding factors in large-scale analysis and help researchers to reach useful, statistically meaningful findings. The overall aim of this activity is to establish a curated, internet-based database hosted in FoodOmics portal, that would serve as a reference point for the search of the content of Greek food products.Regarding milk, cheese and animal tissue samples, our expert research teams have also built a reference database through the implementation of various research projects ,22,23,24The central aim of FoodOmicsGR_RI is to strengthen the existing infrastructure of its partners and facilitate basic and applied translational research. With this upgrade, the aggregate capability for capital instrumentation of the laboratories reaches five hybrid time of flight mass spectrometers Q-TOF-MS hyphenated to UPLC systems (two with ion mobility capability(TIMS-TOF-MS)), a UPLC-QTRAP 6500+ MS/MS, more than 10 triple quadrupole MS/MS instruments hyphenated to UPLC, four UPLC-Orbitrap HRMS (one with nano-LC), three HPLC-MS (High-performance liquid chromatography mass spectrometry) single quadrupole instruments, an SFC-UV/MS system, more than 8 GC-MS , and three GC-MS/MS (Gas chromatography\u2013mass spectrometry systems with triple quadrupole MS). Mass Spectrometry capabilities of FoodOmicsGR_RI include Matrix-assisted laser desorption/ionization- time of flight- mass spectrometry (MALDI-TOF MS) exploiting the potential for high molecular weight analysis, enhancing the development of rapid and reliable high-throughput methodologies for food authenticity studies. NMR spectroscopy capabilities include two 600 MHz, two 500 MHz and four 400 MHz NMR spectrometers. Elemental analysis is performed in two ICP-MS Inductively coupled plasma- mass spectrometry) and two ICP-OES instruments. In addition, virtually all necessary instrumentation is available in the laboratories of the partners including FT-IR (Fourier-transform infrared spectroscopy), NIR (near infrared spectroscopy), capillary electrophoresis (CE)-, and several HPLC and GC instruments linked with various detectors: UV, PDA (Photodiode Array Detector), fluorescence, ELSD (Evaporative light scattering detector) for LC; FID (flame ionization detector), ECD (Electron capture detector) for GC). FoodOmicsGR_RI involves strong informatics expertise and access to high computing power. Staff scientists and newly recruited researchers are working on data treatment and the implementation of fusion of data collected from the different analyses and omics platforms.Advancing and harmonising the available analytical methods is a central task. The RI partners have very strong track records in research, as evidenced by their publications/presentations and patents awarded. Partner selection provides high complementarity in methods, expertise, infrastructure and application orientation. The latter practically covers the whole Greek agri-food sector. An array of protocols for genetic/metabolomics/proteomics analysis in targeted and untargeted mode exists among the FoodOmicsGR_RI partners and a list of current protocols and methods is given in FoodOmicsGR_RI has established a multitude of methods for metabolic profiling as well as elemental, genetic and proteomic profiling. In addition, protocols exist for the analysis of nutrients and pollutants in foods and the characterization of foods by state-of-the-art technologies. These cutting-edge analytical tools are applied in the quest to reach a thorough characterization of food products with a focus on Greek products of high value and market potential, which includes but is not limited to olive oil, wine, honey, dairy products and seafood. A major concentration of analytical force is directed to the small molecule domain. Metabolic profiling or metabolomics is the largest and strongest sector of the FoodOmicsGR_RI, bringing together researchers from the mass spectrometry and the NMR spectroscopy fields. FoodOmicsGR_RI researchers have developed methods for metabolic profiling of wine, cheese, honey, royal jelly, olive oil, olives and several other foods, natural products and biological samples.Untargeted methods, combined with fit-for-purpose chemometric approaches, strengthen the breadth of traditional targeted analysis ,26 and rThe validation of findings and the development of Quality Control (QC) measures have been a major element of our research. FoodOmicsGR_RI laboratories have been central in the development of QC approaches and measures for LC-MS based metabolomics ,40,41,42As the metabolomics field is maturing, there is increased interest in the development of targeted methods . UltimatNMR spectroscopy is a method of choice for the analysis of complex mixtures as it permits simultaneous monitoring of all constituents within the inherent sensitivity limits. Numerous applications have been proposed in food classification and origin determination in combination with multivariate statistical analysis techniques.1H and 31P NMR spectroscopy, metabolomics approaches that deal with the authentication of extra-virgin olive oil against adulteration with seed oils, olive oils of low quality were developed and validated [We have used multinuclear and multidimensional NMR spectroscopy as a tool for food profiling, quality control and analysis of a variety of food products. In olive oil, the initial focus was the profiling of low molecular weight compounds that can be used as molecular markers of olive oil quality and provided information on olive oil age, degradation and storage history ,59. Basealidated ,61. Curralidated . SuccessWine analysis is another field of great interest, and we have developed and applied analysis protocols for metabolite profiling of red and white wines. For wines produced from grapes of different Cretan vine varieties on consecutive wine production seasons, we were able to classify commercial wines based on variety . We haveNMR employing 1D and 2D experiments remains the most powerful tool in unambiguous structures elucidation of small molecules . CombineThrough the acquisition of new NMR instrumentation by FoodomicsGR, the consortium has now access to a novel solid-state NMR spectrometer that offers the capability of NMR analysis of solid foods in their native state without the need for long and arduous extraction procedures. We are already working on developing suitable solid-state NMR analytical protocols, with our initial targets being foods such as cheese, seeds, olive fruits and meat, where the potential for a strong analytical impact in quality control and novel metabolomics method development is very promising.FoodOmicsGR_RI provides Genomic services through a Genetic traceability system that is based on the identification of animals and their products through the study of DNA. DNA is detectable in every cell, resistant to heat treatments, and allows for individual or species identification. The DNA molecule has the feature of being enormously variable among individuals, making it possible to distinguish among them ,71. OnceAt the species level, our research team has developed a \u201cDNA barcoding\u201d method for the genetic identification of fish species in order to detect phenomena of involuntary or deliberate mislabeling of fish products. Specifically, DNA sequencing and universal primers are used for the species determination in different fish products of various fish species . Reliable species identification is accomplished through comparison with big databases such as the BOLD Database, providing 100% accuracy in most cases . For thehttps://fishreg.jrc.ec.europa.eu/web/aquatrace). For the sea bass, the panel of the 20 most informative SNPs demonstrates assignment accuracy over 90% for natural and over 60% for farmed individuals [Furthermore, geographic traceability genetic tools are developed within the Foodomics consortium, accomplished by a large genomic reference database that our research team has built through various research projects for a number of fish species, birds, and large mammals. In particular, for the two most common commercial fishes in Southern Europe, the sea bream and the sea bass, we have developed, in the framework of FP7 project \u201cAquaTrace: the development of tools for tracing and evaluating the genetic impact of fish from aquaculture\u201d, efficient, high fidelity and cost-effective genomic traceability tools, i.e., SNP panels, for the identification of the origin stock of random individuals , we have analyzed the genome of the Chios Greek sheep breed, which is well known for its high milk yield characteristics as well as its fertility. Specifically, genome-wide association analyses (GWAS) are performed to identify specific genomic regions on the sheep genome associated with novel derived phenotypes regarding the future selection of animal producers unaffected by weather fluctuations due to climate change. In particular, genetic and genomic characterization of performance resilience to climate volatility under heat stress conditions will be presented regarding Chios dairy sheep. Indicatively, genetic correlations between performance resilience and lifetime milk production and also identification of additive SNPs spanning a region of fifth chromosome and associated with Chios resilience will be reported [https://www.smarterproject.eu/).Genomic analyses are additionally applied to livestock species , which constitute an important economic sector for our country, for their genetically assisted breeding. The genomic improvement of the species of interest regarding their products, such as milk yield and quality, meat, wool, etc., is widely performed through single nucleotide polymorphisms (SNPs), which scan the whole genome to identify regions associated with the desirable phenotypic characters. In the framework of iSAGE Horizon 2020 project: \u201cInnovation for Sustainable Sheep and Goat Production in Europe\u201d for the improvement of food quality, the prevention of food spoilage and the extension of shelf-life by limiting microbial interactions ,79. FurtElemental Metabolomics have been developed in collaboration with the University of Boston and Griffiths University . ElementFoodOmicsGR_RI includes expert application groups and end-users with deep knowledge of specific food products and large, well-controlled historic sample banks of food products produced in a controlled environment with full historic records . All manipulations were performed by specialised research scientists working under strictly controlled conditions; samples were collected from specific restricted geographical areas, and were treated and stored in the same way.Sample banks containing honey and royal jelly samples were produced by specialised Apiculture Laboratories in experimental breeds. Olive oil collection has been built through participation in research projects and national initiatives and covers specific geographical areas, e.g., the islands of Crete and Lesvos, and mainland regions. Monocultivar olive oils have been collected after thorough control that ensured universal oil production technology. In a similar way, monocultivar wines have been collected from collaborating wine makers. Regarding animal tissue/DNA samples, our research team has built through various research projects a thorough reference database for several fish species as well as other species like birds and mammals. Partner laboratories maintain various sample banks of non-genetically modified soybeans cereals, nuts, almonds and other foods. Sample collections extend to several years, to enable the generation of representative profiles. Samples are accompanied by metadata: breed, species, exact geographic location of the farm, farming/feeding modes, and so forth.As an example, the process for the collection of milk and dairy products will be described in brief: Specialist groups (veterinary scientists) organised sample collection from well-known collaborating animal farms from certain geographical regions; detailed reporting of animal feed, animal breed, age was applied along with the application of strict sample collection, transportation and storage protocols. The collection of milk was organised from specific farms in various areas of Greece. For cheese samples, all production steps, from milk sampling until the cheese making, were monitored by trained scientists and veterinarians. Specifically, the hygienic condition of the farms was examined, taking into consideration the animal breeds, the territory of origin , the quality of the milk and the seasonal variation. Milk was selected from different flocks, with different grazing and production systems, whereas all zootechnical parameters were recorded. Cheeses were manufactured according to specific recipes, in absolutely strict conditions of safety and quality, with a fixed percentage of ovine and goat milk in the feta and graviera cheeses, the single breeds used, as well as the cheese-making technology, which was also recorded before the experimental analysis. One sample bank consists of 180 different milk samples from 180 different flocks of small ruminants corresponding to six restricted geographical areas and 140 produced cheeses in total, whereas 48 single breed cheeses were produced in certain regions, generating specific profiles to understand the actual differences among breeds, production methodologies and territory influences. Eighty commercial cheese products from four different regions were also compared, based on our strategic plan to differentiate the authentic and traditional way of cheese making from the industrial methods ,93,94. IThis research line aims to study the potential of omics technologies in the control of authenticity (authentication) of agricultural products, the identification of characteristic patterns of biomarkers and/or the certification of the geographic origin of foods. An impressive array of analytical techniques has been used in the literature for this quest. Omic technologies and bioinformatics are currently being put to use, aiming to achieve unparalleled detailed food analysis, whilst providing useful information regarding the molecular content of foods. In the following section, selected examples of the work of the consortium are provided according to the analytical technology.Our consortium has extensively applied MS-based metabolic profiling to categorise foods such as wine, olive oil, olives, milk, apples grapes, Chios mastic and other foods. Authenticity studies regarding adulteration and geographical and varietal origin have been efficiently addressed by applying different MS-based screening strategies ,30,95,96One of the most challenging tasks in food research is labeling verification, mainly regarding products characterized by PDO/PGI indication. An indicative example is the discrimination of PDO Kalamon olive drupes from drupes of different geographical origin, based on their full metabolome . MoreoveThe proteome domain can also be studied and used for the assessment of geographical origin. In a preliminary study on feta cheese samples from different areas of Greece, the full protein content of feta cheese was reported for the first time. A total of 489 proteins of diverse functions were detected and were linked to the identity of the product 1H and 13C NMR spectroscopy for metabolite profiling of a series of different food products [31P NMR spectroscopy after chemical derivatization was developed and was used to profile minor glyceride components in olive oil [Consortium members have developed several analytical protocols based on products ,103,104.live oil ,59, and live oil . Using tlive oil or olivelive oil .For wine variety and region classification, FoodOmicsGR_RI members developed protocols for the analysis of the phenolic content after extraction using XAD technology resins Cheese samples were investigated by the FoodOmcsGR_RI staff for the presence of a specific type of bacteria, which can determine the quality and sensory characteristics, and they were also authenticated in four different geographical areas of Greece. Conventional approaches used to identify different types of bacteria include microbiological techniques based on the morphological, biochemical, physiological (phenotype) and genetic characteristics (genotype) of the microorganisms ,108. IdeApplications of Elemental Metabolomics within our consortium include: determination of geographical and botanical type of honey , authentThe work of the consortium aims to combine metabolomics data from different platforms NMR, LC-MS, GC-MS to comprehensively map the metabolome of the foods under study. A further plan is to combine data across omics: for example, metabolomics with elemental analysis (ICP-MS) data, genetics and proteomics analysis data, and so on. Fusion of the data will be used to provide an integrated perspective of the studied specimen. FoodOmicsGR_RI staff have coined a novel term for such holistic approaches for food analysis: \u201cTrophometry\u201d, that is, the sum of omics techniques encompassing analysis of foods. The \u201cTrophometric Fingerprint\u201d is expected to be unique for any given food sample, and can provide information regarding traceability of raw materials as well as the origin and quality of each food itself .In addition, given the ability for sensory evaluation of food products in available premises, omics disciplines will assist in the elucidation of sensory-active compounds, considering all possible stimuli of multimodal perception and including the biological perception of food as an additional analytical dimension to comprehensively assess the quality of a given product.In nutrition Research and Development (R&D), our strategy is to exploit the power of Omics technologies to assess domestic agri-food biodiversity for the consolidation of the value of Greek produce . Based oThis research line will analyse biological samples from animal models or humans after nutritional intervention. Within the facility, long expertise exists in profiling biological fluids and excreta such as urine, blood, feces, saliva ,114,115 Increased interest in foodomics is central in life/medical science towards the prevention of disease, the development of a personalised diet and the development of nutraceuticals and functional foods. In this line of research, FoodOmicsGR_RI partners realise collaborative projects with various partners from the private sector to improve the manifestation of quality claims of existing products or support R&D efforts toward the development of novel products containing bioactive ingredients from the Greek flora/marine organisms . In a recent example, functional foods containing phenolic-rich water extracts of olives generated during olive oil production, or plant extracts, were prepared, and their effect on animal and human metabolic models was evaluated . For fooMembers of the FoodOmicsGR_RI consortium have investigated the health benefits of different constituents of emblematic Greek traditional foods like olive tree polyphenols for their cardioprotective, anti-ischemic and hypolipidemic effects ,126,127 The agro-industry produces important amounts of solid and liquid by-products that are characterized, on the one hand, by high organic loading, while, on the other, by the presence of bioactive compounds. The future sustainable management of these by-products should focus on the application of management practices that achieve protection of the environment and simultaneous increases in revenues. Under this frame, the amounts of the agro-industrial wastewater that are produced in Greece will be estimated, while different physicochemical and biolFoodOmicsGR_RI members have developed value chains in the food-agricultural industry that promote recycling economy by taking into account regional needs. These value chains are based on the integration of innovative technologies for recycling and extracting fine chemicals of high added value from constituents of agricultural wastes. The recovery of natural products with valuable health benefits like anti-oxidants, etc., can be achieved from agricultural wastes at an industrial scale using state-of-the-art green technologies like XAD adsorption resins or supercritical fluid extraction and used in numerous applications in food supplements, cosmeceuticals, etc. These applications can create not only new products from the food and agricultural industry but also lead to significant reductions in environmental footprint, enabling sustainable agriculture practices. Several applications have been developed for olive-oil mills, wineries and wood treatment. Additionally, FoodOmicsGR_RI partners are highly equipped for the treatment of agriculture wastes and bioproducts in three ,136,137 FoodOmicsGR_RI focuses also on the assessment of food safety from chemical contaminants which can be present in foodstuffs due to environmental contamination, cultivation practices or production, packaging and storage processes. One major task deals with the development, application and validation of sensitive, accurate and robust analytical methods based on various extraction techniques and hyphenated quantitative techniques (such as LC(GC)-MS/MS and LC(GC)-HR-MS/MS) using state-of-the-art instrumentation for facing current and future needs of food surveillance and for identifying new aspects to be controlled. Different classes of traditional and emerging contaminants such as pesticides, biocides, pharmaceuticals, PAHs, phthalates, organohalogenated compounds, etc., as well as their metabolites and transformation products, are studied in terms of their fate, dissipation, levels in food commodities, compliance with current maximum residue limits (MRLs) and possible associated dietary risks. A greater interest is provided for the most significant food matrices of the Greek production market such as olive oil, wine, honey, milk, vegetables, aquaculture products, etc. ,144,145.In food safety assessment, strong interest also exists in the study of the effect of molecules migrating from food contact materials (FCM) to food or food simulants. As such extensive work has focused on the determination of endocrine disruptors, different approaches have been studied including migration of the potential endocrine disruptor, bisphenol A (BPA), from polycarbonate baby bottles into aqueous food simulants , as wellRegulated substances and non-intentionally added substances (NIAS) migrating into food or official food simulants have been studied by different analytical approaches covering BPA, phthalates and otheIt should be mentioned that in the framework of national and industrial food safety control, a wide range of the developed methodologies has been accredited by the Hellenic Accreditation System (E.SY.D) according to ISO 17025 and has been established for the in-depth monitoring of contaminants in different food matrices ,155,156 The establishment of the RI offers benefits for the Greek research system in conducting cutting edge research in Foodomics research topics. FoodOmicsGR_RI can provide a reference center, a center of excellence for the analysis of the molecular/elemental content of food products, with its spearhead on small molecule analysis (metabolomics). The consortium can assist and strengthen research proposals and R&D efforts of the RI partners, external researchers, private enterprises and stakeholders.Very important issues in food quality, namely fraud and authenticity, are recognised as major activities in different types of food, while the health benefits of specific nutrients attract the interest of a wide research community, as well as producers, retailers, and consumers. In this aspect, FoodomicsGR_RI can assist in the integration of major areas that are important for the development of new research in different areas: botanical-agricultural, veterinary, analytical, nutritional biological effects and food engineering and related technologies. The variety of methodologies covered within the RI permits the establishment of testing cascades for high-throughput information-rich screening methods suited for juridical proof of fraud, authenticity and quality control. This direction can offer an efficient, cost-effective strategy for surveillance and consumer protection, making it possible to harmonize future standards and guidelines for their implementation. This can attract collaboration from scientists from the regulatory bodies in the region, thus increasing the impact on the Greek society and national economy.The recent establishment of FoodOmicsGR_RI promotes agri-food and nutrition R&D in Greece, bringing the national research system in line with large European and global initiatives. The activities of FoodOmicsGR_RI promote effective networking and collaboration among the consortium partners, but also between the research and the private sector. The unique combination of facilities, controlled sample banks, databases and expertise is available to support researchers and entrepreneurs in the realisation of R&D efforts.Omics research necessitates collaborative work from different disciplines and standpoints. Apart from the infrastructure, and the portfolio of analytical methods, this activity required specialists\u2019 knowledge and high-quality sample banks, and FoodOmicsGR_RI combines these characteristics.FoodOmicsGR_RI addresses a priority for Greece because the country possesses unique biodiversity, as described above in detail. The characterization of unique traditional products, highlighting their value and the potential benefit of the Greek/Mediterranean diet, is best achieved by an evidence-based analytical description of their compositional characteristics with the application of advanced technology. This can increase the attractiveness and market value/demand for these products, thus supporting brand naming and generating higher revenue for the producers and national economy."}
+{"text": "Yunnan Province was considered the most difficult place in China for malaria elimination because of its complex malaria epidemiology, heterogeneous ecological features, relatively modest economic development, and long, porous border with three malaria endemic countries: Lao People\u2019s Democratic Republic, Myanmar, and Viet Nam.Academic publications and grey literature relevant to malaria elimination in Yunnan covering the period from 1950 until 2020 inclusive were considered. The following academic indexes were searched: China Science Periodical Database, China National Knowledge Infrastructure Database, and MEDLINE. Grey literature sources were mainly available from the National Institute of Parasitic Diseases (NIPD), the Chinese Center for Diseases Control and Prevention, and the Yunnan Institute of Parasitic Diseases (YIPD).A malaria elimination campaign in the 1950\u20131960s, based mainly on mass administration of antimalarial drugs and large-scale vector control, reduced morbidity and mortality from malaria and interrupted transmission in some areas, although elimination was not achieved. Similar strategies were used to contain outbreaks and a resurgence of disease during the 1970s, when malaria services were discontinued. From the 1980s, malaria incidence declined, despite the challenges of large numbers of mobile and migrant populations and an unstable primary health care system in rural areas following economic transformation. Launch of the national malaria elimination programme in 2010 led to adoption of the \u20181\u20133-7\u2032 surveillance and response strategy specifying timely detection of and response for every case, supported by the establishment of a real-time web-based disease surveillance system and a new primary health care system in rural areas. Border malaria was addressed in Yunnan by strengthening the surveillance system down to the lowest level, cross-border collaboration with neighbouring countries and non-governmental organizations, and the involvement of other sectors.Seven decades of work to eliminate malaria in Yunnan have shown the importance of political commitment, technically sound strategies with high quality implementation, a robust surveillance and response system at all levels, community participation and effective management of border malaria. The experiences and lessons learned from elimination remain important for prevention re-establishment of malaria transmission in the Province.The online version contains supplementary material available at 10.1186/s12936-021-03672-8. Plasmodium falciparum and Plasmodium vivax in Yunnan, registered in 2015 and 2016, respectively, were also the last indigenous cases of either species in China ."}
+{"text": "With cancer incidence increasing over time worldwide, attention to the burden of psychiatric and psychosocial consequences of the disease is now mandatory for both cancer and mental health care professionals. Psychiatric disorders have been shown to affect at least 30\u201335% of cancer patients during all phases of the disease trajectory, and differ in nature according to stage and type of cancer. Other clinically relevant distressing psychosocial and existential conditions not included as \u2018disorders\u2019 in the usual diagnostic and nosological systems (i.e. meta-diagnostic conditions) have also been shown to be present in another 15\u201320% of cancer patients. In this editorial, we will present a summary of the extensive literature regarding the epidemiology of the several psychosocial disorders affecting cancer patients as a cause of distress and burden to be taken into consideration and addressed in cancer care through evidence-based intervention. For example, in palliative care, a marked reduction in performance, pain and fatigue, as well as loss of a vision of the future, make it difficult to differentiate major depression from other depressive spectrum disorders , the stage of cancer and the type of assessment methods and tools used to determine caseness are common in cancer care, particularly after chemotherapy.et al., et al., v. endogenous stressors) and temporal criteria (acute stressor in PTSD v. continuing and multiple stressful events in cancer).Trauma/stress-related disorders include post-traumatic stress disorder (PTSD) and sub-syndromic forms of PTSD hat has also shown to affect 15% of cancer patients represent a frequent diagnosis at all stages of cancer, and describe the emotional reactions related to the multiple stressors linked to cancer, involving 20\u201325% of patients. Anxiety as well as depression can be also components of AD depression with intertwining effects in the manifestation of both conditions. However, several different problems emerge, not only with regards to oncology but all medical conditions, because of the low specificity of DSM criteria for the diagnosis of AD, the vagueness of the symptoms, the weakness of the concept of distress n Casey, .et al., et al., Somatisation and somatic-symptom disorders and their role in influencing patients' well-being are also important, not only because of its prevalence especially in long-survivors of cancer, but also in general for the multiple relationships between the perception of somatic symptoms and the patient's interpretation. Pain intensity, hypochondriacal concerns, disease labelling and dysfunctional interpretation of somatic symptoms, are part of a complex picture related to illness and abnormal illness behaviour; ways in which individuals adaptively or maladaptively monitor their body, experience, evaluate and respond to their state of health. All these issues have a significant role in cancer care, since somatic symptoms may magnify disability resulting from cancer, interfere with treatment adherence, decision making, cause delay in recovery, result in poor outcomes and recurrence, and reduce overall well-being and quality of life, and complicate the diagnosis of major depression cognitive impairment or acute confusional states (delirium) secondary to the disease and its treatment. Mild neurocognitive disorders can be secondary to chemotherapy or chemotherapy associated with radiation therapy which can cause impairment of neuropsychological domains, such as memory, attention, concentration, learning functions, calculation and visual-spatial perception Wigmore, . Other cet al., et al., et al., A special area of interest is represented by delirium, one of the most common cognitive disorders in cancer, particularly in the advanced stages of disease. Delirium prevalence, depending on stage of disease, ranges from 10 to 80%, including both the hyperactive-agitated and mixed forms, although hypoactive delirium is most common in advanced cancer and demoralisation (28.8%) are for example the most frequent clinically relevant psychosocial conditions diagnosable in cancer patients in different phases of illness and in improving quality of life, well-being and return to work and illness behaviour (Li psychopharm-oncology) (Grassi and Riba, et al., et al., et al., Integrated psychopharmacological intervention (et al., et al., et al.,et al., Cancer has significant psychosocial consequences for both patients and their families. Today there is scientific evidence of the benefits of providing psychosocial cancer care as part of standard care in reducing distress and psychosocial morbidity associated with cancer and in fostering a better quality of life during and after treatment, and eventually in increasing survival. The significant advances in research in the area of psycho-oncology have favoured the development, implementation and dissemination of psychosocial guidelines and evidence-based treatments for several co-morbid psychiatric disorders in cancer, such as depression (Li"}
+{"text": "The COVID-19 pandemic, which began with reports of atypical pneumonia cases in the city of Wuhan in Hubei province of China, was declared a public health emergency of international significance by the WHO on January, 30 2020. The virus SARS COV2 has, to date, infected more than 16 million people around the world and over 0.6 million people have succumbed to it. The pandemic has affected more than 220 countries .The response in India, a LMIC, has focused on interrupting the transmission of infection through contact tracing, finding and isolating cases when they occur. The guidelines of the Ministry of Health recommends COVID care centers (CCC) be used for mild or very mild cases, separate dedicated COVID health centers (DCHC) for moderate cases (pneumonia without any signs of severe disease), and dedicated COVID hospitals with ICU facility (DCH) for critical cases .Though the steps taken in terms of prevention, interruption of transmission, and management of COVID-19 cases in India have been proactive, there is an urgent need to strengthen and integrate COVID care into the primary health care of the country. There exists a huge disparity between healthcare capacities among different states in India and states do not have similar capacities to and the ability to provide enough stand-alone centers like CCCs, DCHCs, or DCHs . Even inWe propose a three-tier system of community-based management of COVID-19 with a primary health care approach:Tier I : Local Self Government Tier II : CHC Tier III : District.The current practice in India focuses on the identification of suspects and confirmation of cases through RT-PCR testing. The ministry of health recommends the early segregation of cases into mild, moderate, and severe categories. The imperfect execution of segregation in many places has resulted in 77% of all patients admitted to hospitals having only mild symptoms of COVID-19 . MoreoveWe suggest that cases should be segregated based on the probability of future complications. Older patients with co-morbidities, pregnant mothers, children under 5 years of age, and patients exposed to high viral load in large closed door congregations should be admitted to dedicated COVID-19 hospitals with ICU facilities \u201312. PatiThe current practice of taking diagnosed COVID-19 patients to standalone healthcare centers promotes over-reliance on the health system, as a suspect is isolated from the community from the time of its contact tracing and quarantine through to testing, diagnosis, management, and finally, discharge (average 30 days) from the hospital. This increases the fear of disease among the population, which in turn increases the stigma not only against patients but also their family members, the recovered patients, and the health care workers who continue to stay in the community . This maThe Involvement of Community Health Centers (CHCs) the management of COVID19 will help diversify and decentralize the health care system in rural and semi-urban areas . It coulOne of the most important bottlenecks in the pandemic has been the lack of standardized, community-oriented, inclusive information, and a cohesive education and communication (IEC) strategy. A specialized IEC cell, with a community feedback mechanism under the district administration will helThe current practice of laboratory diagnosis starts with the collection of nasopharyngeal and/or oro-pharyngeal swab by laboratory personnel or healthcare workers in individual hospitals or quarantine facilities or isolation centers. The samples are then sent to the designated laboratories for rt-PCR by maintaining the reverse cold chain . This inThe pandemic provides an opportune moment to expand primary healthcare infrastructure along with a once redundant network of telemedicine at community levels in India by resurrecting village-level resource centers .The community-based management of COVID-19 cases will not only help in reducing the fear and stigma prevailing during this pandemic but also enhance community engagement through participation and an increase in healthcare capacity. This will also improve community preparedness for future re-emergence of infectious diseases and will reduce the need for drastic measures like lockdowns in the future.SP: concept, intellectual content, and manuscript editing. SM: intellectual content and manuscript preparation. AJ: literature search and manuscript preparation. SK: literature search and manuscript preparation. AG: intellectual content and literature search. All authors contributed to the article and approved the submitted version.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "This paper reviews the evidence base for the health impacts of SIL on older adults, the risk factors, and the potential moderators and mediators of those relationships. Substantial evidence indicates that SIL are associated with physical, cognitive, and psychological morbidity; health-related behaviors; and health-related quality of life. Social isolation in particular is associated with a significantly increased risk of premature mortality from all causes. The evidence base for interventions in the clinical setting is also reviewed. Finally, the report\u2019s specific recommendations are discussed, including the need for basic science research, increased funding, key elements in the design and evaluation of interventions, and gap areas (including trends among current younger adults and approaches for specific understudied groups of at-risk older adults). Part of a symposium sponsored by Loneliness and Social Isolation Interest Group."}
+{"text": "Polypharmacy remains a significant healthcare issue in the United States, resulting in drug interactions, adverse drug reactions, and potentially dangerous complications. Polypharmacy, often defined as the simultaneous use of five or more medications, may lead to adherence problems and an increased risk of hospitalizations and death, particularly in the older population. Medication management was incorporated into undergraduate nursing clinical experience in an affordable housing urban community as part of the New Jersey Geriatric Workforce Enhancement Program (NJGWEP), a 5-year grant supported by DHHS-HRSA. This paper will describe the first phase of this project, which involved the determination of the prevalence of polypharmacy and high-risk medications in this setting. The charts of sixty residents were reviewed and along with demographic information, the following data was collected: total number of medications , high-risk medications using Beers criteria and identification of common themes or issues. The average age of the residents was 72 years, with cardiovascular diseases and diabetes mellitus being the most common comorbidities. Fifty-two of the sixty residents (86%) received five or more medications daily, meeting the definition of polypharmacy. The average number of medications taken on a daily basis was 8.9. Among the residents, centrally-active agents such as gabapentin, tramadol and lorazepam were the most commonly prescribed medications. The second phase of this project will include implementation of a medication reconciliation process to identify potential issues using the Beers criteria and implement appropriate interventions to ensure safe medication practices in this high-risk population."}
+{"text": "The novel coronavirus disease 2019, COVID-19, which is caused by severe acute respiratory syndrome virus 2 (SARS-CoV-2) . SARS-CoThe World Health Organisation (WHO) declared the novel coronavirus outbreak a Public Health Emergency of International Concern (PHEIC) on January 30, 2020 . As COVIOn February 27, 2020, the Federal Ministry of Health confirmed the first COVID-19 case in Ogun State, Nigeria, making the country the third country in Africa to recognise an imported COVID-19 case after Egypt and Algeria. The index case occurred in an Italian citizen who flew from Milan, Italy to Lagos, Nigeria on February 24, 2020, and travelled on to his company site in Ogun State the same day in a private vehicle. On February 26, 2020, he presented at the company clinic with symptoms consistent with COVID-19 and was referred to the Infectious Disease Hospital (IDH) in Lagos where a COVID-19 diagnosis was confirmed by real-time reverse transcription polymerase chain reaction (RT-PCR) on February 27, 2020.A total of 216 contacts in Lagos and Ogun States, including the passengers on the February 24 air flight, were identified for 14-day follow-up, with 40 of these contacts identified as high-risk. Eleven days later, an asymptomatic contact of the index case in Ogun State was confirmed as the nation\u2019s second case of COVID-19.The epidemiology of COVID-19 in Nigeria has since evolved, with cases identified in 35 of 36 states in the country, plus the Federal Capital Territory (FCT) in order to ensure a cohesive and effective coordination of the country\u2019s preparedness efforts (Measures instituted by the NCPG included strengthening in-country diagnostic capacity for the testing of COVID-19 by leveraging and optimising three existing laboratories within the NCDC molecular laboratory network and assessing existing infectious disease treatment centres with a focus on identifying gaps and developing plans for case management. Interim protocols and guidelines for case management of COVID-19 were developed while the Nigeria Pandemic Influenza Preparedness and Response plan was reviewed for relevance to COVID-19 response. Infection prevention and control (IPC) and case management trainings were conducted for frontline health care workers in designated treatment centres.Findings from a WHO risk assessment identified 13 countries, including Nigeria, as high-risk priority zones for proactive surveillance, detection and containment of the spread of COVID-19 . ConsequFollowing the confirmation of the first COVID-19 case in Nigeria on February 27, 2020, the NCPG transitioned to a national multisectoral Emergency Operations Centre (EOC) at the NCDC. The EOC was activated at level three, the highest level of response in the country intended for public health emergencies requiring national coordination and use of all available resources for the response. The EOC comprises multiple pillars, including: coordination, surveillance and epidemiology, case management, laboratory, points of entry (PoE), IPC, risk communication, logistics, and research. POE and case management pillars are led by the Departments of Port Health Services and Hospital Services of the Federal Ministry of Health respectively. Sub-national EOCs were activated in both Lagos and Ogun states to coordinate the response in the first two affected states. National multidisciplinary rapid response teams (RRTs) were strategically deployed to the initial two states (Lagos and Ogun), plus FCT, and then to all states to strengthen coordination and response activities at the state and local government area (LGA) levels. The national RRTs, comprising NCDC staff and graduates/residents of the Nigeria Field Epidemiology and Laboratory Training Program (NFELTP), provided technical and logistical support at the state and sub-state levels.At the national level, the Presidential Task Force (PTF) on COVID-19 was established by the President of Nigeria on March 9, 2020, with an overarching mandate to coordinate and oversee the country\u2019s multi-sectoral and inter-governmental efforts both to contain the outbreak and to mitigate the impact of the COVID-19 pandemic in Nigeria. The National COVID-19 Multi-Sectoral Pandemic Response Plan was adopted by the PTF in March and serves as a blueprint for a whole-of-Government response.The PTF provided high-level strategic leadership to the national response guided by scientific evidence. Daily PTF media briefings were held to enlighten Nigerians on evolving evidence, address trending issues and provide update on the government\u2019s response. Technical evidence-based recommendations from the PTF informed the President of Nigeria\u2019s policy decisions for the various phases of the outbreak. Overall, Nigeria\u2019s response strategies were aimed at suppressing the transmission of COVID-19 by testing all suspect cases, isolating all confirmed cases, and tracing all contacts of confirmed cases, with the implementation of country-wide or regional non-pharmaceutical interventions as appropriate. The Nigerian response was characterised by robust collaborations with partners. Development and implementation of response strategies were facilitated by technical and material support from several local and international partners including the WHO, Africa CDC and philanthropic organisations. The need to generate relevant research evidence led to the formation of the Nigeria COVID-19 Research Consortium (NCRC) whose aim is to develop and implement a research agenda on COVID-19 with identified national priorities, in line with WHO\u2019s global research roadmap. NCRC also serves as the coordinating body for COVID-19 research in Nigeria.Given the novelty of the virus, the evolving nature of transmission in Nigeria from imported cases to clusters of cases to community transmission and level of response implemented, the NCDC EOC convened a mid-action review meeting on May 9, 2020, to strategically review the existing response approach, share lessons learnt, and identify key opportunities for improvement and further collaboration. The outcome and key recommendations of the meeting in line with the emerging data and global best practices have been used to improve response strategies, drive control and prevention measures against the disease, as well as focused interventions to strengthen the health system. The gaps identified include poor utilization of state level public health EOCs for coordinated responses, sub-optimal utilization of data to guide decision making, delayed turn-around-times of laboratory results, non-standardization of case management across treatment centers and poor adherence to IPC practices in health care facilities. Several intervention measures were instituted which include training and mentorship of State EOC teams on the incident management system as a tool for outbreak response coordination, development and operationalization of data management, analysis and use plans, deployment of the electronic surveillance system to laboratories to speed up the release of results, the establishment of a community of practice for COVID-19 case managers and deployment of online IPC training programme for health care workers.As of March 22, 2020, the initial 30 confirmed cases COVID-19 in Nigeria were travellers from abroad or their immediate contacts. This informed the initial international travel ban for passengers coming from countries with ongoing high transmission to minimize rising imported cases. Ultimately, land borders were closed, all international flights were banned, and mandatory institutional quarantine and testing for international returnees to Nigeria was instituted on March 23, 2020 to reduce further importation of the disease from high-risk countries in Lagos and Ogun States and FCT for an initial period of 14 days, extended for an additional 21 days in the same three states and adding Kano State. The states were selected based on a combination of the burden of disease and their risk: Lagos State was the initial epicentre of disease and had the highest number of cases; Ogun State borders Lagos State, was the source of the index case, and has a highly urban population with a high rate of travel into Lagos State; the FCT had the second-highest number of cases at that time. After the initial two-week lockdown period, incidence in Kano increased rapidly, prompting inclusion in the lockdown. The lockdown included closure of schools and workplaces, bans on religious and social gatherings, cancellation of public events, curfews, restrictions on movement, and cessation of interstate and international travel. Alongside the federal lockdown in Lagos, and Ogun States and the FCT, many states adopted measures as well, including school closure, movement restrictions, and curfews.The lockdown strategy was a drastic and temporary measure implemented with two objectives: first, to slow the spread of the virus across the country, and second, to buy time for the health system to increase its preparedness. During the lockdown period, the NCDC worked with all states to enhance contact tracing activities and increase capacity for case detection and treatment. Treatment centres were expanded from an initial single centre in Lagos with 35 beds, as of February 29, 2020, to 38 centres with 1055 beds by April 14; by May 30, 2020 Nigeria had 121 treatment centres with 6550 beds. In the four-week period, the number of laboratories able to carry out COVID-19 testing increased from the initial three to 13 laboratories in 10 states as of April 15, to 28 in 18 states by the end of May. More than 13\u2009000 health care workers were trained on IPC as well as on COVID-19 case management and personal protective equipment (PPE) and response commodities were deployed across the country to reinforce and better prepare the multi-sectoral response.Despite bans on interstate travel, the virus had already spread geographically. Ten states reported their first COVID-19 cases during the first 14-day phase of the Federal lockdown, while an additional 13 states reported index cases in the second phase of the lockdown. Index cases in several states were traced to domestically exported cases from Lagos State and FCT. Nearly three-quarters of current cases have no known epidemiological link, suggesting substantial community transmission. Cumulatively, as of May 31, 2020, 337 of Nigeria\u2019s 774 LGA have reported a confirmed case.Although laboratory capacity was scaled up rapidly, testing numbers did not increase as planned. Testing capacity in terms of PCR machines as of mid-April was approximately 2500 tests per day and increased to more than 5000 per day as three Mega PCR Laboratories were activated for COVID-19 testing in Lagos and FCT by late May. However, inadequate testing reagents, due to delayed orders, and airport closures, hindered testing scale-up. Limited numbers of sample collection teams and testing centres, as well as hesitancy among some of the population to test, have also constrained increased testing. In the first two weeks of April, on average fewer than 300 tests per day were conducted; this increased to approximately 640 per day in the last two weeks of April, 1145 per day during the first two weeks of May, and 1410 per day during the last two weeks of May.The drastic lockdown measures came with a significant economic and social cost. Crime and domestic violence reportedly increased during the period and manyGlobally, countries continue to employ diverse strategies to control the COVID-19 pandemic. These strategies are aimed at preventing, detecting, controlling, and mitigating the impact of the pandemic while taking into account the economic, social, cultural and religious factors unique to each country. Ultimately, the effectiveness of these strategies will be determined and sustained by country-level and community ownership .Nigeria has, to date, the second-highest number of confirmed COVID-19 cases in Africa, and accounts for 7% of all confirmed cases on the continent. This may be an underestimate of the actual case load given the relatively low testing rate in Nigeria. As of May 31, Nigeria had conducted 63\u2009882 COVID-19 tests, equivalent to 293 tests per million population; in comparison, Ghana had conducted 184\u2009343 (5948 per million population) and South Africa had conducted 488\u2009609 tests (8251 per million population) . The relBy the end of May 2020, all but one state, Cross River State, reported COVID-19 cases. Cases were concentrated in the two most densely populated states, Lagos and Kano, as well as the FCT. Many of the initial cases reported outside of these three states have been imported from Lagos State, the FCT, or Kano State. Meanwhile, the rising case numbers in conflict-affected areas such as Borno State pose additional concerns and require context-specific interventions to avert a looming health crisis, especially in camps for internally displaced persons ,17.Undetected imported cases may have played a key role in the beginning and accelerated the transition from clustered to community transmission in the Nigeria outbreak. This is because, as the outbreak began, prior to closure of international borders, arriving international passengers were allowed to self-quarantine (without testing) but encouraged to seek testing if symptoms developed. This may have led to multiple undetected imported cases. The rapid emergence of cases among individuals with no travel history or recognized epidemiological links to other cases despite contact tracing suggests multiple undetected cases may have been imported into the country or that potential contacts of the identified cases were missed. This guided subsequent approach such that following border closure, arriving passengers had mandatory supervised quarantine for 14 days.Nigeria\u2019s states were facing critical challenges as the number of cases continues to increase across the country. Foremost among these is the limited number of COVID-19 treatment centres. Though greatly expanded since the outbreak\u2019s start, the limited number of beds, health workers, and critical care equipment such as oxygen and ventilators may quickly lead to an overwhelmed health system unable to minimize COVID-19 mortality and contain the spread of the disease. The NCDC continues to work closely with all state governments and partners to ensure adequate infrastructure is in place for timely case detection, management of cases, and to build capacity of the public health and clinical workforce.Although national testing capacity has significantly increased with private sector engagement, testing coverage and pace is still relatively low. By the end of May 2020, 293 tests had been conducted per million population, about 5% of what Ghana had done, with an average positivity rate of 15.9% overall. Nigeria needs to rapidly scale up testing to be able to quickly identify existing cases, isolate them, and control the pandemic. Securing sufficient testing supplies and personal protective equipment for health care personnel are immediate challenges of the response.Lock down containment measures were aimed at slowing the spread of the outbreak to new states, delaying the progression to community transmission, and increasing health system capacity at the initial phase of the outbreak. Though the lockdown slowed down COVID-19 transmission, it had undesired collateral effects on social protection, security, and daily subsistence for many. It is safe to assume that these negative consequences of the pandemic disproportionately affected women, people living in poverty, petty traders and those dependent on income from small and medium enterprises. The adverse effects of the lockdown exacerbated already difficult situations for many, rendering prolonged enforcement of preventive interventions such as lockdown and physical distancing unsustainable.A systematic approach was adopted to balance economic reopening with public health concerns, demonstrated in the phased easing of lockdown alongside a whole-of-society outbreak control strategy. This approach mobilises all sectors and communities to take ownership of and responsibility for response efforts towards control of the war against COVID-19 in Nigeria. The easing of lockdown measures came at a time when confirmed cases were on the uptick; however, the immense socioeconomic impact witnessed during the lockdown period necessitated a more balanced approach to public health interventions . FurtherNigeria mounted a swift and aggressive response to COVID-19, leveraging on its existing epidemic preparedness and learning from other parts of the globe where transmission began earlier. The country\u2019s initial response included early activation of the national EOC at the NCDC, establishment of the multi-sectoral COVID-19 PTF, and decisive actions to stop international travel and impose a time-limited lockdown in highly affected areas. By rapidly implementing this set of interventions, Nigeria likely slowed down the rate of virus transmission and bought extra time to implement a robust case detection, testing, and treatment centre capacity. However, these efforts, especially testing, needs more private sector involvement to significantly ramp up COVID-19 diagnostic centres across the country. Sensitising and mobilising citizens to take responsibility by strict implementation of preventive non-pharmaceutical measures is key to flattening the curve. A rapid, holistic, cohesive, whole-of-government approach that encompasses civil society and local-communities in the response will be absolutely critical to combating the COVID-19 pandemic in Nigeria and rebu"}
+{"text": "Persons with dementia (PWD) are two-three times more likely to be hospitalized as persons without dementia and comprise one fourth of hospitalized older adults. Hospitalization often has a dramatic impact upon the health and disposition of the older PWD. They are at increased risk for hospital acquired complications (HAC) such as functional decline, behavioral symptoms of distress, and delirium, all of which contribute to increased disability, mortality, and long-term nursing home stays. Despite the unprecedented number of PWD admitted to acute care, little attention has focused on their specialized needs and HAC, and how they impact functional recovery. The purpose of this symposium is to describe the incidence of common HACs, and factors that influence their occurrence and presentation in PWD. Utilizing baseline findings from the Family-centered Function-focused Care (Fam-FFC) trial, the presentations will address this objective and discuss the ramifications for functional and cognitive post-acute recovery in PWD. The first presentation will describe the incidence and pharmacologic management of pain in PWD, and its association with common HACs. The second presentation will describe physical activity in PWD on medical units and the validity of the Motionwatch8 actigraphy. The third session will describe differences in common HACs between white and black PWD. The final presentation will examine function-focused goals developed in collaboration with family caregivers and patients, and the functional outcomes associated with goal attainment. Our discussant, Dr. Lorraine Mion, will synthesize the research findings and lead a discussion of future directions for policy and practice in dementia-capable acute care."}
+{"text": "Food, by nature, is a biological substrate and is therefore capable of supporting the growth of microbials that are potential producers of toxic compounds. Natural toxins include mycotoxins, marine biotoxins, plant toxins, cyanogenic glycosides, and toxins occurring in poisonous mushrooms. Natural toxins pose not only a risk to both human and animal health, but also impact food security and nutrition by reducing people\u2019s access to healthy food. The tracking and detection of natural toxins in foods back to their source is a primary responsibility of food producers, distributors, handlers, and vendors. National authorities should conduct monitoring and ensure that levels of the most relevant natural toxins in food commodities comply with both national and international maximum levels or relevant toxicological thresholds.Toxins includes some recent advances in analytical methodologies for the detection of natural toxins in food commodities and biological fluids. The collected contributions are relevant to two main analytical approaches, namely advanced liquid chromatography\u2013tandem mass spectrometry (LC-MS/MS) applications for the high sensitive and selective detection of emerging contaminants, and approaches for rapid and cost effective toxin detection based on immunoassays and cell-based assays.This Special Issue of The phytotherapeutic and nutritional use of plants and herbal-based products have increased in popularity over the last few years, however the improper usage of plants or unawareness of plant toxicity may lead to intoxication cases. Nowadays, highly sensitive and selective LC-MS/MS techniques represent a relatively easy to access and powerful tool to target plant toxins at low levels, and as a consequence, contaminants such as pyrrolizidine alkaloids and cardiac glycosides have surfaced as an issue of relevance in food safety. A method for the determination of pyrrolizidine alkaloids in honey has been set up by Hungerford et al. . The stuAmong the readily available in vitro methods, the functional assay known as the cell-based assay, which uses a neuroblastoma (N2a) cell line, is widely applied for routine surveillance of marine toxins. In their study, Viallon et al. optimized several key parameters of the cell-based assay, improving assay implementation and reliable toxin detection, making the final protocol suitable for future standardization and interlaborarory comparisons . The overall performances of immunoassays strongly depend on the quality of selected immunoreagents, first of all, of the antibody. For this reason, the development and testing of new antibodies continues to warrant considerable efforts in current research. Maragos et al. proposed a new competitive enzyme-linked immunosorbent assay (ELISA) to screen for citreoviridin and its geometric isomer, iso-citreoviridin, in white rice based upon the isolation of two novel monoclonal antibodies . The devWhen applying rapid screening tests for compliance testing, their fitness for purpose needs to be demonstrated through a validation study. The manuscript by Pecorelli et al. provides insights about the process of evaluating and comparing the performance profile of rapid methods currently applied for AFM1 screening in milk . AddressAntibodies as well as alternative receptors, such as aptamers, can be used in several biosensing platforms. The review by Zhuheng Li et al. updates the construction strategies of electrochemical biosensors such as immunosensors and aptasensors for the cost-effective determination of microbial toxins including bacterial toxins, fungal toxins and algal toxins . The papOverall, the papers included in this Special Issue have contributed to advance the state-of-art of analytical methods for the detection of natural toxins. Furthermore, a part of the published studies focused on emerging or less investigated toxins, thus providing the scientific community with new tools and/or data supporting a better understanding of related food safety issues."}
+{"text": "Social approaches such as distancing measures are essential components of the public health response to respiratory-related infectious disease outbreaks. Due to socio-economic and broader peculiarities of SSA countries, social approaches that were effective elsewhere may have limited practicality in these contexts, and if practical; may yield different or even adverse results. We highlighted the effectiveness of these social approaches and their practicality in SSA.we conducted a comprehensive literature search through multiple databases, to identify articles relevant to social distancing. Findings were thematically summarized.our review found emerging and varying empirical evidence on the effectiveness of social approaches in the control and mitigation of the COVID-19 pandemic; thus, limiting its applicability in SSA contexts. Nonetheless, our review demonstrates that the effectiveness and practicality of social approaches in SSA contexts will depend on available resources; timing, duration, and intensity of the intervention; and compliance. Weak political coordination, anti-science sentiments, distrust of political leaders and limited implementation of legal frameworks can also affect practicality.to overcome these challenges, tailoring and adaptation of these measures to different but unique contexts for maximum effectiveness, and investment in social insurance mechanisms, are vital. The pandemic has since spread to more than 192 countries and territories around the world. Evidence shows that COVID-19 is readily transmissible from person to person through air droplets and aerosols [The World Health Organization (WHO) declared the coronavirus disease 2019 (COVID-19) outbreak a pandemic on the 11aerosols . The goaaerosols As of 21aerosols . Due to et al. [et al. is comprehensive, specific to respiratory disease pandemics and is widely cited across literature sources and publications addressing NPIs, hence highly relevant to our review. Further, the rationale for using this framework was due to its clear definition of each social approach. Based on that, we categorized the social approaches into five distinct but interrelated themes: 1) Isolation and quarantine; 2) Closure of schools; 3) Closure of workplaces; 4) Avoiding/cancellation of mass gathering; 5) Restriction of movement. We highlight in each category the evidence on the rationale and effectiveness of the interventions as well as their contextual implications within SSA.In the first prong, we reviewed the evidence on the effectiveness of social approaches to COVID-19 and respiratory disease outbreak response. To do this, we conducted a literature search of the following electronic databases: MEDLINE (via LitCOVID in PubMed), Google scholar, Cochrane Library, African Index Medicus, and EBSCOhost. To be eligible for inclusion, publications had to assess the effectiveness of social measures used in the response to COVID-19 or other respiratory disease outbreaks in SSA or other settings. Reference lists of relevant articles and documents on databases of the World Health Organization (WHO) and Africa Centres for Disease Control and Prevention (Africa CDC) were also scanned for potentially relevant articles. See et al. , to themIsolation and quarantine: the severe acute respiratory syndrome coronavirus 2 (SARS-CoV-2) spreads primarily by human to human transmission through infected droplets [droplets ,8 .Hencedroplets . Empiricdroplets . Commonldroplets -12. HowePracticality of isolation and quarantine in sub-Saharan Africa: the potential health, social, and economic impacts of the spread of COVID-19 in Africa are important considerations for governments and public health authorities in SSA to take pragmatic steps towards stemming the tide of transmission. While isolating cases and quarantining those exposed are reasonable interventions that are potentially effective for controlling infectious disease outbreaks, they are resource-intensive [ntensive . Given tntensive . As COVIntensive ,14.Isolation/quarantine facilities may also be crucial for contacts residing in overcrowded housing conditions and those who are homeless. Due to overcrowded homes, particularly in urban slums and informal settlements, implementing self-isolation/quarantine may expose other persons in the household and may lead to further community transmission. In addition, these living conditions may make staying indoors and complying with isolation/quarantine for the appropriate duration unbearably uncomfortable, particularly on hot days. Furthermore, the lack of improved water supply and sanitation facilities in communities may also complicate self-isolation of cases and voluntary quarantine of contacts of cases. As such, designated isolation/quarantine facilities could be an avenue for dealing with these practical and contextual constraints. Moreover, seven out of ten Africans work in the informal sector with implications for the practicality of self-isolation/quarantine. There is a high likelihood of non-compliance with these self-isolations /quarantine if people are faced with the risks of income or job losses while absent from work . InformaWhile the limitation of rights and freedom of movement during the enforcement of isolation and quarantine may be justifiable in the interest of public health in pandemic settings, it carries the inherent risk of being abused and implemented in draconian ways; particularly in the contexts of authoritarian leadership. This would be the case if there is fear, intimidation, abuse, or victimization. Such adverse outcomes have been highlighted by numerous reports of police and military brutality, intimidation and harassment across a number of African countries during the enforcement of movement restrictions. Hence, it is important for isolation and quarantine to be enforced with fairness and within human rights standards . Lastly,Workplace closure: evidence suggests that there is a substantial risk of respiratory disease transmission in occupational settings [settings . Implemesettings ,19. A 23settings . In addisettings . Comparasettings .Practicality of workplace closures in SSA: the majority of the population in SSA lives in poverty and in rural households without social insurance policy. As discussed earlier, the informal sector makes up about 70% of the workforce, and there are many people who rely on a daily income to eke a livelihood [velihood . Withoutvelihood which isvelihood . Formal velihood .School dismissal and closure: school dismissal refers to schools remaining open to only administrative and teaching staff, vulnerable children, children of healthcare and essential workers [ workers . On the workers . These t workers . School workers . In Sing workers . Further workers -31. Howe workers . School workers . Disenta workers .Practicality of school closures in SSA: school closure results in reduced parental productivity including loss of health-care staff to childcare duties [e duties -30,32. Te duties . Most lie duties . While se duties . It has e duties . These ce duties . Though e duties -38.Avoiding/cancellation of mass gatherings: mass gathering is a planned or spontaneous event where the number of people attending could strain the planning and response resources of the community or country hosting the event [he event . Examplehe event . Avoidinhe event . It invohe event ,41. Evidhe event ,43. Evidhe event . During he event .The timihe event .Practicality of avoidance /cancellation of mass gathering in sub-Saharan Africa: in many SSA countries, avoiding/restricting mass gathering has been used as a social distancing measure in limiting the spread of the SARS-CoV-2 .There have been reports of compliance in the shutting down of sporting events, in contrast to large pockets of partial to non-compliance with regards to some cultural and religious practices/events like burials, coronation events, weddings, church/mosque services etc. In West Africa, there have been negative reactions, including riots, to the closure of places of worship and incidences of 'super spreading' events at evangelical church sessions (in Burkina Faso and South Africa) [ Africa) -49. Thes Africa) . However Africa) . Again, Africa) .Restriction of movement: lockdowns and curfews are categorized as restriction/halting of movement with the rationale of ensuring social distancing measures to delay the peak of the infection. While there is currently no consistent definition for lockdowns, we assume a rather more contextual definition to accommodate the variability in implementation. It ranges from hard or full lockdowns (active coercion with the agency of the police/army (state) in maintaining sit- at- home orders and enforcing no entry/exits into territories), to partial lockdowns . The lockdown seen in Wuhan, China is the prototype of hard lockdowns, while the one instituted in London is an example of partial lockdowns [ockdowns ,53. The ockdowns -58.et al. carried out a hierarchical cluster analysis to assess the impact of complete lockdown on total infection and death rates across 12 countries that declared lockdown [et al. reported that had a strict lockdown not been instituted in Wuhan-China, COVID-19 cases would have been 65% higher in the 347 Chinese cities outside Hubei province, and 53% higher in the 16 non-Wuhan cities inside Hubei [et al. modelling estimates by placing restrictions reduced COVID-19 transmission by a median 45% (42 to 49%) in Italy with over 200 000 hospitalizations averted as of March 25, 2020 [Ghosal lockdown . Data frlockdown . There wde Hubei ,. Simila25, 2020 . Institu25, 2020 .Practicality of restriction of movement: while effective in combating COVID-19, the WHO recognizes restricting movement as a blunt tool with social and economic costs [ic costs . The praOverall, our review suggests emerging and varying empirical evidence on the effectiveness of social approaches such as isolation, quarantine, school and workplace closures, movement restrictions and prohibition of mass gatherings, in the control and mitigation of the COVID-19 pandemic. We highlighted in each category of the social approaches the rationale for implementing the interventions and their contextual implications. To illustrate, while measures such as work, and school closures may be important for reducing the spread of COVID-19. In many SSA social contexts, these may have little practicality due to low internet penetrations to support online learning and teleworking. Similarly, contextual realities such as overcrowded living conditions and water supply deficits may constrain the practicality of the social distancing rule of staying or living at least 2 meters apart and the NPI of regular handwashing. Other challenges in the region include infrastructural deficits, limited technical capacity to undertake contact tracing and surveillance activities, inadequate or lack of social safety nets, weak legal and legislative frameworks, and mixed messages from some political leaders resulting in anti-science sentiments, and a general mistrust and low confidence in political leaders.Our review is not without its limitations. Given the very broad nature of the topic and time constraints, we were unable to conduct a systematic search of the literature. However, we minimized the risks of literature selection bias by an internal peer-review process that allowed each team member to critically appraise the literature identified by team mates. Because ours was a non-systematic review, it did not require a systematic quality assessment of included literature. As such, our quality assessment is narrative. The sources of the evidence we included in the review were mostly observational and simulation studies, thereby limiting the certainty of the evidence. Further, the certainty of this review\u00b4s evidence is limited by the ongoing and rapidly evolving nature of the pandemic, particularly with the lingering uncertainties around transmission dynamics. In addition, the integrated implementation of these social measures makes it difficult to distinguish the specific impact of each intervention from the cumulative effects of combined efforts. Nonetheless, our review demonstrates that social approaches have varying effectiveness and practicality, depending on available resources, the timing of the intervention, duration, intensity, combination with other measures, implementation monitoring, and compliance. For instance, there is substantial evidence that isolation, used together with contact tracing, quarantine and optimal testing, is beneficial in mitigating the spread of the virus .Finally, at the heart of the limited practicality of these social approaches in SSA countries are (1) fundamental challenges in equity: are the measures equitably implemented?, (2) sustainability: can the measures be implemented sustainably?; (3) financial and technical investments: do SSA countries have the economic and technical resources to implement some of these measures; are these economic resources judiciously and efficiently managed and used as planned? and (4) trust: do the citizens trust the messages from their leaders?In sum, there is emerging and varying empirical evidence on the effectiveness of the use of selected social approaches in the control of the COVID-19 pandemic in SSA contexts. There is limited practicality in implementing these social approaches due to infrastructural and economic deficits, limited technical capacity, anti-science sentiments, weak political coordination, distrust of political leaders and limited implementation of legal frameworks. To overcome these practical challenges, tailoring and adaptation of these measures to similar but unique contexts for maximum effectiveness, and investment in social insurance mechanisms, are vital.The coronavirus disease 2019 (COVID-19) pandemic has spread rapidly across most countries of the world;Social approaches such as distancing measures are essential components of the public health response to respiratory-related infectious disease outbreaks;Controlling the pandemic is challenging as there is limited evidence on the safety and effectiveness of appropriate medicines, with vaccines currently available for prevention.This review demonstrates varying effectiveness of social approaches such as isolation, quarantine, school and workplace closures, movement restrictions and prohibition of mass gatherings, in the control and mitigation of the COVID-19 pandemic;This review contextualizes the implications of these social approaches in sub-Saharan African contexts, summarizing the evidence in one paper, thus making it easy for readers to access the information;This review establishes that the effectiveness and practicality of social approaches in SSA contexts will depend on several important factors. Including the availability of resources; timing of the intervention, effective leadership and community trust."}
+{"text": "First WHO model list of essential in vitro diagnostics in 2018; the Indian Council of Medical Research followed in its footsteps and released its first National essential diagnostics list in 2019.Accurate and affordable diagnostics are central to effective health care. Quality diagnostics, when made available as part of health-care services, influence disease diagnosis and treatment outcomes in patients and improve disease surveillance. Poor investment in diagnostics, especially in low- and middle-income countries, has translated into high out-of-pocket expenses on diagnostics. Furthermore, lack of diagnostics can result in serious public health challenges, such as antimicrobial resistance due to overuse of antibiotics.India has had a long history of vertical, disease-specific programmes, which contributed immensely to the control of infectious diseases such as human immunodeficiency virus (HIV), tuberculosis and malaria.India\u2019s essential diagnostics list is comprehensive and ambitious; through this list, the Indian Council of Medical Research seeks to cement diagnostics as an important component in health care. The list should translate into improved patient outcomes and reduction in out-of-pocket expenses on diagnostics. The list was drafted through a consultative process spearheaded by the Indian Council of Medical Research. The process of reaching a consensus on which diagnostics to include in the list consisted of five consultative meetings with clinicians, microbiologists, pathologists, radiologists, representatives of civil society, managers of national programmes, representatives of the diagnostics industry and other technical experts over a period of 15 months. The consultations focused on the latest available evidence of disease burden,In 2015, the Indian government, under the guidance of the National Health Mission, launched the Free Drugs Service and Free Diagnostics Service Initiative, as part of its nationwide effort towards the government-led Health for All objective.Having a national essential diagnostics list endorsed by all major stakeholders would have several advantages, mainly homogenizing diagnostics availability at every level. States can use the list as a reference document to forecast needs and guide their procurement; the list can also help them determine the volumes of tests and mechanisms required to meet demand and negotiate diagnostics\u2019 prices. Special pricing initiatives driven by aggregated volumes have been practiced by some disease control programmes in low- and middle-income countries to improve diagnostics availability.During the consensus-building process to develop the list, the committee of experts identified several important gaps where diagnostic solutions for priority health-care conditions specific to India are needed. In the last decade, the development of point-of-care diagnostics has advanced significantly, with scientists and entrepreneurs making strides in the development of next-generation point-of-care diagnostic devices that are based on modern technologies such as smartphones and cloud-based devices. While some point-of-care diagnostics such as rapid blood glucose, digital haemoglobinometer and cardiac biomarkers have already been included in the diagnostics list, point-of-care rapid tests for the detection of infectious diseases, such as typhoid, are needed.Through the national essential diagnostics list, the Indian government seeks to make the availability of quality diagnostics an essential component of the health-care system; the list can also become a guidance document for other countries to develop a similar tool. Strengthening of diagnostics infrastructure and improving the availability of diagnostics will be key to achieving diagnostics availability across all levels of health care. Even the point-of-care diagnostics, despite their promise of simplicity, affordability and shorter turnaround time, require a functional delivery system that is supported by laboratory and clinical expertise. We hope that implementing the national essential diagnostics list, which is underway through the Free Drugs Service and Free Diagnostics Service Initiative, will increase the availability of good quality diagnostics and therefore reduce out-of-pocket expenses on diagnostics and improve patient outcomes."}
+{"text": "The University of Nebraska Medical Center\u2019s Rural Patient and Stakeholder Engagement in Research project used a novel approach to patient engagement in research: just-in-time engagement. In this approach, patients were identified and matched with researchers with shared research interests without preemptive patient and stakeholder education and training. Ten research teams initiated engaged research design between August and October of 2019. In this presentation, we will share process and outcomes measures of the just-in-time approach: measures of ongoing engagement at 6 and 9 months; evidence of research productivity, and patient and stakeholder satisfaction with their research involvement. We will also address ethical challenges, including challenges to engaging a diverse population. Part of a symposium sponsored by the Patient/Person Engagement in Research Interest Group."}
+{"text": "Muir-Torre syndrome is a rare, autosomal dominant genodermatosis, characterized by sebaceous neoplasms and visceral carcinomas. The authors describe the case of a patient who, 16 years after the diagnosis of colon carcinoma, presented a verrucous plaque on the pubic region, histopathologically compatible with sebaceous adenoma. The need to investigate this syndrome is emphasized, especially in cases of sebaceous neoplasms located outside the head, face, and neck. Screening for neoplasms in these patients and their families is mandatory. The authors describe the case of a 79-year-old woman, presenting a warty, erythematous, and painless plaque for two years on the pubic region . There wa)Amelanotic melanomab)Condyloma acuminatumc)Squamous cell carcinomad)Sebaceous adenomaBased on clinical and histopathological findings, the authors reached the diagnosis of sebaceous adenoma in a patient with Muir-Torre syndrome (MTS). Sebaceous tumors are rare, most commonly located on the face and neck of the elderly.The diagnosis of sebaceous neoplasia makes MTS screening imperative. This is a rare variant of Lynch syndrome, autosomal dominant, characterized by the occurrence of sebaceous gland tumors associated with visceral neoplasia. Among the sebaceous tumors related to MTS, adenoma is the most common, histologically characterized by lobular proliferation with predominance of mature sebocytes in the center and a minority of basaloid germ cells at the periphery. Colon adenocarcinoma is the most common associated visceral neoplasia, especially when proximal to the splenic flexure (unlike sporadic cases), followed by tumors of the genitourinary tract.The diagnosis of MTS is clinical, by finding sebaceous neoplasia and at least one visceral tumor without other contributing factors, such as radiotherapy or immunosuppression. Immunohistochemistry and molecular analysis are indicated in cases where there is no family or personal history of visceral neoplasms.The authors report a case of sebaceous adenoma with unusual location in the pubic region in a patient with colon and bladder cancer. The importance of investigating systemic neoplasms associated with SMT and the monitoring of these patients and their families is emphasized.None declared.Diego Henrique Morais Silva: Approval of the final version of the manuscript; design and planning of the study; drafting and editing of the manuscript; collection, analysis, and interpretation of data; intellectual participation in propaedeutic and/or therapeutic conduct of studied cases; critical review of the literature; critical review of the manuscript.Anna Karoline Gouveia de Oliveira: Design and planning of the study; collection, analysis, and interpretation of data.Neusa Yuriko Sakai Valente: Approval of the final version of the manuscript, effective participation in research orientation, intellectual participation in propaedeutic and/or therapeutic conduct of studied cases, critical review of the manuscript.Thais do Amaral Carneiro Cunha: Approval of the final version of the manuscript, intellectual participation in propaedeutic and/or therapeutic conduct of studied cases.None declared."}
+{"text": "Dear Editor,Purpura annularis telangiectodes of Majocchi is a rare subtype of pigmented purpuric dermatosis. It is more common in children and young females and predominantly affects the lower limbs, with symmetrical annular reddish-brown macules.4A 6-year-old female patient, daughter of consanguineous parents, presented lesions since 2 years old. The patient had no history of systemic symptoms, allergies, or continued use of medications, except sporadic use of paracetamol. In the beginning, the lesions were erythematous, and subsequently evolved to annular and/or irregular hyperchromic macules, symmetrical in the legs, as well as in the right upper limb, and with an isolated lesion in the anterior cervical region . A skin Purpura annularis telangiectodes of Majocchi is part of the pigmented purpuric dermatoses, which manifests as annular macules that are symmetrical, reddish-brown, and generally asymptomatic. It preferably affects children and young women, and there is no predominant ethnicity.None declared.Aline Soares Garcez:; elaboration and writing of the manuscript; critical review of the literature.Vit\u00f3ria Regina Pedreira de Almeida Rego: Approval of the final version of the manuscript; critical review of the literature.Thadeu Santos Silva: Approval of the final version of the manuscript; elaboration and writing of the manuscript; intellectual participation in propaedeutic and/or therapeutic conduct of studied cases; critical review of the literature, critical review of the manuscript.None declared."}
+{"text": "Cardiovascular disease (CVD) has always been an important field of application for diagnostic imaging in small animal practices and, vice-versa, diagnostic imaging has greatly expanded the diagnostic capabilities of veterinary clinicians dealing with CVD. In addition to physical examination and electrocardiography, cardiac imaging offers unique opportunities to understand and investigate cardiovascular function and dysfunction. Among the different imaging modalities, each with specific advantages and disadvantages, some focus primarily on cardiac structure and anatomy and others are mainly concerned with cardiac physiology and function.For several decades in the last century, thoracic radiography and fluoroscopy, with or without the use of contrast medium , were the imaging techniques of choice to investigate dogs and cats affected by congenital or acquired CVD ,2. RadioStarting in the 1970s, the progressively increasing number of available ultrasound technologies, from M-mode via two-dimensional sector and then three-dimensional volume scanning techniques, in combination with various Doppler methods and other advanced techniques , has considerably increased understanding of normal and abnormal cardiovascular anatomy and function . With thIn the last decade, the increasing accessibility of computed tomography (CT) and magnetic resonance imaging (MRI) units in small animal veterinary practices has offered additional powerful tools for the in-depth exploration of cardiac anatomy and the assessment of cardiac function. The high temporal and spatial resolution achievable with the modern multidetector-row CT scanners, which can acquire a three-dimensional dataset of the heart and thoracic vessels in a few seconds, allows the depiction of very small or difficult to access normal or abnormal cardiovascular structures . FurtherThe heart and great vessels are very well visualized with MRI because the contrast between cardiovascular tissue and blood is more pronounced than in echocardiography and cardiac CT. Therefore, cardiac MRI is the reference imaging technique for the assessment of cardiac morphology and function and is often used for the evaluation of complex cardiovascular anomalies and specific myocardial disease processes in humans. In companion animals, the early application of MRI includes the precise assessment of cardiac morphology, volume and function, as well as the identification of subtle and challenging changes in poorly accessible cardiovascular structures such as the right ventricle, the pericardium and the heart base in animals with arrhythmogenic cardiomyopathy, mesothelioma, heart base masses and vascular abnormalities, respectively . Finally, veterinary cardiologists and radiologists have very recently started the early application of deep learning, an artificial intelligence application that uses computer-aided detection methods with the aim of helping clinicians recognize cardiac or left atrial enlargement on canine thoracic radiographs ,20.Cardiovascular imaging has witnessed an explosive expansion of available tools providing detailed information of cardiovascular structures and physiology with noticeable improvement in the diagnosis of CVD. The future directions of cardiac imaging include the increased interconnection among the different imaging techniques and their extended use, not only for diagnostic but also for prognostic purposes in animals with CVD."}
+{"text": "Dear Editor,Epithelioid sarcoma (ES) is a rare histopathological subtype of soft tissue sarcoma, accounting for less than 1% of all adult soft tissue sarcomas.None declared.Maraya de Jesus Semblano Bittencourt: Approval of the final version of the manuscript; collection, analysis, and interpretation of data; critical review of the literature; critical review of the manuscript.Caren dos Santos Lima: Drafting and editing of the manuscript; collection, analysis, and interpretation of data; critical review of the literature; critical review of the manuscript.Aline de Lima Days: Approval of the final version of the manuscript; Drafting and editing of the manuscript; intellectual participation in propaedeutic and/or therapeutic conduct of studied cases; critical review of the literature; critical review of the manuscript.Camilla C\u00f4rrea Neri: Drafting and editing of the manuscript; collection, analysis, and interpretation of data; critical review of the literature; critical review of the manuscript.None declared."}
+{"text": "An age-dependent decreased number of AVT-positive neurons was seen in the medial preoptic area, medial preoptic nucleus, paraventricular nucleus, rostral part , and lateral preoptic area. Trends to effects of brooder rearing were found in both anteromedial preoptic nucleus and supraoptic nucleus, with dark brooder reared animals showing higher mean counts of AVT-positive neurons in both areas. No interactions between brooder raising and age were observed in AVT-positive neuron count. CORT levels were higher in primary wing feathers from 28 week old hens than in those from 16 week hens. No main effects of rearing with dark brooders or interactions between age and treatment were found on CORT levels. The age-dependent effects seen in the hypothalamus and CORT aids in further understanding of the development of chickens around puberty. The use of brooders tended to increase AVT expression in the anteromedial preoptic nucleus and supraoptic nucleus, an indication that dark brooder rearing may affect physiological responses regulated by these areas. The lack of effect of dark brooders on CORT in feathers is at the least an indication that the use of dark brooders is not stressful; in combination with the benefits of dark brooders on injurious pecking, fearfulness and early mortality, this pleads for the use of dark brooders in on-farm situations.Chickens cannot independently thermoregulate at hatch and lack opportunity to behaviorally thermoregulate with a hen in the egg layer industry, thus barns are heated to thermoneutral temperatures. Dark brooders are low-energy-consuming hot plates, which may be environmentally advantageous while providing welfare-enhancing aspects of maternal care . Dark brooder use has been demonstrated to decrease injurious pecking and mortality well into the production period of layers. To further understand hen development around lay onset and effects of dark brooders on the brain and HPA-axis, we examined effects of rearing with dark brooders on expression of vasotocin (AVT) in the hypothalamus and corticosterone (CORT) in the feathers of in total 48 layer Isa Warren hens at 16 w and 28 w of age ( Gallus gallus domesticus) hatch with limited ability to produce warmth by thermogenesis . Brooders may also have positive effects on welfare problems in the egg layer industry. Chicks bred with broody hens are less fearful than chicks bred without mother hens . LikewisAphelocoma coerulescens; . Maternal deprivation has been reported to affect the neuro-endocrine response to stress in mammals \u201316. Morelescens; ]. In youlescens; , and strlescens; . Maternalescens; . Both felescens; and knowlescens; , 24, sugMaternal care, or lack thereof, can also lead to long-term changes in neuroanatomy visible even in adulthood in humans and rodents . PreviouGiven the impracticality of housing broody hens with chicks in industrial situations on the one hand, and the desirability of introducing aspects of maternal care to improve welfare and reduce energy use on the other hand, investigation of the effects of the use of dark brooders during rearing on physiological parameters related to stress and welfare is of strong interest. Previously published results from the present group of animals demonstrated strong positive effects of dark brooders on plumage condition, wound reduction and reduction in mortality rates . To furtAll procedures involving animals were in accordance with the Danish Ministry of Justice Law No. 382 (10 June 1987) and Acts 333 (19 May 1990), 726 (9 September 1993) and 1016 (12 December 2001). This study is part of a larger project that also evaluated the effects of brooders on welfare, including behavior, fear, injurious pecking damage, mortality and production parameters .The chickens used in this study were non-beak trimmed Isa Warren layers, obtained when 1 day old from Top\u00c6g Aps, Viborg, Denmark.2) and in whether the brooder was raised at regular intervals . DirectAge was found to affect the expression of AVT in the hypothalamus of chickens, and an age-dependent increase in CORT was seen in feathers of the hens. This information aids in further understanding of the development of chickens around puberty. The use of brooders tended to affect AVT expression in some areas of the hypothalamus. The lack of effect of dark brooders on CORT in feathers is at the least an indication that the use of dark brooders is not stressful; given previously shown positive benefits of dark brooders, e.g., prevention of injurious pecking, reduced fearfulness and lower mortality, this pleads for the use of dark brooders in on-farm situations.The datasets generated for this study are available on request to the corresponding author.All procedures involving animals were in accordance with the Danish Ministry of Justice Law No. 382 (10 June 1987) and Acts 333 (19 May 1990), 726 (9 September 1993) and 1016 (12 December 2001). This study is part of a larger project that also evaluated the effects of brooders on welfare, including behavior, fear, injurious pecking damage, mortality and production parameters .AR conceived and designed the study with RN. RN and AR drafted the manuscript with help from EZ. EZ and AD performed laboratory work, analysis of stained slides, and statistical analysis.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Nearly 59,000 human deaths worldwide are attributable to rabies annually, of which more than a third occur in Africa. In recent years, progress has been made in both action and collaboration including implementation of surveillance and prevention measures. In this review we assess the scale of surveillance, preventive, and control efforts of canine-transmitted human rabies in African countries. We reviewed literature published from 2014 to 2018, retrieved from electronic databases including MEDLINE, Global Index Medicus, BIOSIS, Science Citation Index, and EMBASE. WHO reports, national disease control program reports, and conference proceedings were also reviewed. The database search was conducted using keywords including rabies, control, and prevention. In forty countries (40/54), some level of rabies control and prevention strategy was available while in fourteen (14/54) countries, no specific national control and prevention strategy for human rabies could be retrieved. Thirty-four (34/54) countries utilized the Stepwise Approach towards Rabies Elimination (SARE) tool to monitor the national rabies control efforts\u2014five of these countries were at the lowest tier (0/5) of the SARE scoring system while no country had achieved the highest score (5/5). High burden countries need to step up the implementation of context specific national rabies control, prevention, and monitoring strategies. As a zoonosis, rabies control and elimination require coordination between human and veterinarian health sectors under the \u201cOne Health\u201d umbrella and with national master plans on the prevention and control of neglected tropical diseases ending in 2020, the time to act is now. Rabies, which is caused by viruses of the rhabdovirus family, genus lyssaviruses, has a worldwide distribution. Rabies is vaccine preventable; however, there is no cure, and it is usually fatal once symptoms appear . The neuThe Sustainable Development Goals (SDGs) of the 2030 agenda for sustainable development called for actions targeting improvements in health and education and ending epidemics of neglected tropical diseases (NTDs) in the next decade . As a deInvestigations from the past five years estimated the epidemiological and economic impact of intervention strategies strongly supporting the effectiveness of canine vaccination and equitable access to PEP in populations residing in endemic regions ,9,10,11.In this review, we assess the current control strategies, policies, programs, and actions directed at reducing canine-transmitted rabies in Africa. This summarized evidence will inform regional stakeholders, governments, and local officials to coordinate control, prevention, and elimination strategies across relevant governmental and non-governmental sectors to ensure enhanced collaboration in achieving the SDG targets. Further, the review will provide critical insight into the challenges and deficiencies related to current national policies and strategies. This will support development of informed and coordinated national and continental strategies for rabies elimination.https://www.un.org/en/member-states/index.html) (accessed on 21 January 2021). Searches were run combining the disease with each of the control and prevention related key words using Boolean words (AND/OR). Reference lists were scanned for relevant review articles and conference proceedings. English and French articles were included in the review. A scoping review of the control and prevention of canine-transmitted rabies in Africa was conducted by searching peer-reviewed articles from MEDLINE, Global Index Medicus, BIOSIS, Science Citation Index, and EMBASE published between 1 January 2014 and 31 December 2018. Search terms related to the disease , control and prevention efforts , and the region were utilized. The selection of African countries was done in reference to the 54 sovereign states which are listed as member states of the United Nations and national disease control program reports as well conference proceedings were also reviewed. Country specific data on SARE stages were retrieved through the Pan-Africa Rabies Control Network (PARACON) and Middle East and Eastern Europe Rabies Expert Bureau (MEEREB) interfaces of the Global Alliance for Rabies Control (GARC) .We also searched, retrieved, and reviewed specific rabies and generally neglected tropical diseases (NTD) national prevention and control strategies and plans through websites of Ministries of Health of each of the countries. Requests to key stakeholders for unpublished strategies, plans, and reports were also made for countries with no publicly available records. For countries with official languages other than English and French, we included literature, policy documents, and national guidelines translated into English or French.Quantitative and qualitative data were extracted from all available records in a structured data extraction tool in Microsoft Excel file. Key variables included the availability of a NTD and/or rabies national plan, whether rabies prevention and control is addressed in national plans/strategies, availability of a Stepwise Approach towards Rabies Elimination (SARE) score and human and/or animal vaccination programs. Furthermore, comprehensiveness of national strategic plans and challenges to rabies control and prevention were qualitatively evaluated against specific parameters including specific action items and monitoring plans in the extraction tool .https://rabiesalliance.org/tools/planning-tools/sare) (accessed on 21 January 2021). The SARE tool guides countries in the formal evaluation of their current status of rabies control [Blueprint for Rabies Prevention and Control\u201d [Under the umbrella of \u201cOne Health\u201d, a collaborative, multisectoral, and transdisciplinary approach including human and animal health and environmental scientists, countries are working towards elimination of canine rabies with the support of the WHO, the World Organization for Animal Health (OIE), the Food and Agriculture Organization of the United Nations (FAO), and GARC . This ef control . OperatiControl\u201d . Togethehttps://rabiesalliance.org/networks/paracon) (accessed on 21 January 2021). Another notable effort under the GARC is the Middle East, Eastern Europe, Central Asia, and North Africa Rabies Control Network (MERACON), that arose out of the Middle East and Eastern Europe Rabies Expert Bureau (MEEREB) in 2015, which unites scientific expertise and national stakeholders to inform prevention programs and complements the coverage of the African continent. PARACON, an advisory and networking initiative, was formed under the secretariat of GARC to unify all sub-Saharan African countries towards a One Health approach for rabies control and elimination . This reThe level of rabies awareness and adapted strategies for surveillance and prevention varied widely across countries. Thirty-nine African countries have implemented an official vaccination program for animal vaccination against rabies. Vaccination programs in 15 of these countries focus on dog vaccination while in 10 countries, both dog and cat vaccinations are practiced. National efforts for rabies control and prevention need to be coordinated through strategic plans, which outline specific, attainable, and measurable actions; monitoring strategies; and the financial provisions for all the planned activities. Five countries including Algeria, Angola, Ivory Coast, Kenya, and Namibia have an accessible and specific national strategic plan for the elimination of rabies . In AlgeFourteen countries 14/54, 25.9%) included rabies prevention and control measures in their NTD Masterplan . Eritrea.9% incluThe Central African Republic , DR CongThe national program against rabies of the Kingdom of Morocco targets reduction of rabies incidence by 50% in 2021 and elimination of canine-transmitted rabies by 2025 . In TuniTanzania initiated a multi-faceted project in 2010, which was supported by the WHO in 28 districts on the Tanzanian mainland and the island of Pemba and in 2017 gave impetus to the development of a National Rabies Control and Elimination Strategy aiming at control of dog rabies incidence and elimination of human rabies by 2030 ,39. SimiBotswana and Ethiopia have no national rabies plan nor integrated measures in their respective NTD master plan and for five countries including Benin, Burkina Faso, Burundi, Cabo Verde, and Cameroon, no data was publicly available .In four countries, namely, Angola, Ivory Coast, Namibia, and Sierra Leone, national plans are mentioned in peer-reviewed publications or from sources linked to national policies or by the scientific community ,44,45,46Identification of the key challenges to implementation of rabies prevention and control strategies is an essential first step to successfully achieving regional, national, and global targets. Although most of the African countries are members of one of the rabies networks such as MEEREB or PARACON, national rabies plan, stand-alone or as part of the NTD master plan are not yet implemented. Qualitative assessment of existing plans is complicated by the diversity of country-specific definitions of prevention or control measures such as monitoring and surveillance or limited simply due to lack of data . FurtherThe lack of epidemiologic data is a significant challenge in streamlining rabies control and prevention. In Mali and Nigeria, despite having more elaborate strategies within the NTD Master Plan, the scarcity of prevalence and incidence data on rabies poses significant challenges to the control and prevention efforts ,26. In cIn Ethiopia, despite not publishing a national rabies elimination plan, a surveillance network exists including the Public Health Emergency Management of the Ethiopian Public Health Institute, the Ministry of Livestock and Fisheries, and Ethiopian Wildlife Conservation Authority .Monitoring progress of national programs is at the heart of the elimination efforts. Thirty-five African countries, as well as the semi-autonomous region Zanzibar, went through the self-assessment process with SARE and shared their score with PARACON including open access of data see . GeneralThe current level of implemented programs and activities shows that rabies is still a neglected disease and surveillance, prevention and control measures are still inadequate on the African continent. It is important for national and international stakeholders to understand that rabies has the highest case fatality ratio of all infectious human diseases and, more importantly, that human death related to canine-mediated rabies could be 100% prevented by enhanced vaccine coverage in the canine population. For example, in South Africa, current surveillance for rabies was described as meagre with inadequate dog rabies vaccine coverage in many areas . The decOur findings agree with those of other reviews that identified shortages in capacity to prevent and control canine-mediated rabies in Africa . The relCanine-mediated rabies should not be recognized as a neglected tropical disease for which endemicity is regionally limited to the African continent but instead be understood as a global infectious disease problem calling for more action and coordination worldwide. As with many infectious diseases, rabies does not respect national borders and can impact any country in the world given the unprecedent air travel. A recent review investigated cases of rabies in international travelers, expatriates, and migrants and found two-thirds of identified cases in migrants from rabies-endemic low-and middle-income countries . As longThe data included in this review was retrieved from peer-reviewed journals and publicly accessible literature. We do not claim full coverage of all available information on every African country since the search was limited to data available in English and French even though most governmental portals provide English versions. Country specific regulations, practices, national strategies, or plans might not have been shared publicly or might not have been accessible and hence were not included in this review."}
+{"text": "SARS-COVID-19 pandemic changed the World and urological practice. The SARS-COVID-19 pandemic has a great impact in all medical fields and because the important changes in Urology in last 3 months and due to the large volume of information and articles received, we chose to carry out this supplement. Despite these extremely difficult times, we are very happy because this supplement marks the beginning of the partnership between the Brazilian Society of Urology (BSU) and the American Confederation of Urology (CAU). Soon the International Brazilian Journal of Urology has everything to become the official information Journal of CAU reinforcing the impact of the International Brazilian Journal of Urology on the American continent.This Supplement presents original contributions with a lot of interesting papers about SARS-COVID-19 pandemic. The papers came from many different countries such as Brazil, USA, United Kingdom, Belgium, Colombia, Peru, Argentina, Germany, Netherlands, Italy, Spain, Canada, and China. As usual, the editor highlights some of them.Dr. Lauxman and colleagues from Germany performed in page 6 a nice Dr. Chen and colleagues from China performed in page 19 a nice Dr. Esperto and colleagues from Italy performed in page 26 an inteDr. Sanchez and colleagues from Spain performed in page 50 an impoDrs. Zequi and Abreu from Brazil and Uruguay performed in page 69 a nice Dr. Casco and colleagues from Spain performed in page 86 (Dr. Ibarra and colleagues from Spain Italy and Iran performed in page 104 a nice Dr. Gonzalez and Ciancio from USA and Spain performed in page 145 an impoDrs. Zampolli and Rodriguez from Brazil and USA performed in page 215 a nice The Editor-in-chief expects everyone to enjoy reading of this supplement and for sure better times will come soon around the World."}
+{"text": "Tissue Engineering and Regenerative Medicine International Society (TERMIS) is the most prominent organization in the field of tissue engineering and regenerative medicine globally. TERMIS promotes education, research, innovation, clinical translation, and social responsibility within the field of tissue engineering and regenerative medicine through regular meetings, training courses, scientific and lay publications, outreach activities, and other forms of communication. TERMIS provides an international forum for informed discussion on the challenges and achievements of tissue engineering therapies.Tissue Engineering Therapies: From concept to clinical translation and commercialisation.\u201d This special issue covers all aspects of tissue engineering and regenerative medicine, including computational models for the cost efficient production of cell-based tissue engineered products ; development of media and tools for more accurate cell culture and for effectively monitoring the fate of implantable devices ; the potential of large animal models in regenerative medicine ; and clinical indication specific discussion .This special issue is associated with the TERMIS EU Chapter 2019 meeting at Rhodes, Greece, 27-31 May. The theme of the meeting was \u201cCampos et al.), gellan gum hydrogels , elastin-like recombinamer hydrogels , poly electrospun scaffolds decorated with poly(lactic acid-co-glycolic acid) (PLGA) or poly(glycolic acid) (PGA) electrosprayed nanoparticles , tripolyphosphate crosslinked chitosan/gelatin biocomposite inks , inorganic calcium phosphate, chitosan, and hyaluronic acid scaffolds , polycaprolactone-polypyrrole printed conductive biomaterials ] for a diverse range of clinical targets, as well as advances in stimuli responsive materials as controlled delivery vehicles .Advancements in chemistry and engineering have made numerous new materials available and nano/micro fabrication technologies have potential in modern tissue engineering and regenerative medicine. With this in mind, this special issue discusses a range of natural and synthetic systems and of in vitro pathophysiology models for drug screening purposes .Considering that cells are the basic building blocks of tissues , contemporary tissue engineering and regenerative medicine exploits the power of cells for the development of implantable devices that will revolutionize healthcare due to their therapeutic and reparative capabilities (e.g., hybrid bioprinting of chondrogenically induced human mesenchymal stem cell spheroids with a photocrosslinkable methacrylamide-modified gelatin printed medium (in vitro models for the study of disease progression and to assess the potential of novel therapies. This collection of manuscripts captures the state-of-play in this field, indicating that the development of effective therapies is underway.Tissue engineering and regenerative medicine have the potential to provide effective treatments for uncurable injuries and diseases, potentially enabling the development of All authors listed have made a substantial, direct and intellectual contribution to the work, and approved it for publication.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "The COVID-19 pandemic, caused by the emergence of a new strain of coronavirus (SARS-CoV-2) around the end of December 2019, has caused a worldwide public health emergency and a socioeconomic crisis during 2020. The lockdown imposed to cope with the health issues caused by the outbreak of the disease has dramatically challenged and negatively affected all the economic sectors of the modern global economy. Specifically, the livestock sector and its related industries are among the most impacted sectors. This is mainly ascribed to the limitations of animal movement and the decrease of production inputs' availability. Other factors negatively affecting the sustainability of the livestock sector have been the shortage of workers due to the lockdown/curfew, the strong decrease in the purchasing power of the consumer, and the intensification of health care tasks. Such an impact is not only highly relevant because of their economic consequences, but also because of the effects of the lockdown and sanitary rules on animal care and welfare. The current review aims to offer: (a) a comprehensive overview of the impact of COVID-19 on the welfare of farm animals and on the performance of livestock farming systems, on food chain sustainability, and finally, on the global economy and food security; and (b) a prospective outline of alleviation actions. By the end of December 2019, the world awoke to a public health crisis due to the emergence of a new strain of coronavirus, which was later named Severe Acute Respiratory Syndrome coronavirus 2 (SARS-CoV-2 or COVID-19) .Globally, the COVID-19 pandemic has had a direct impact on food systems through changing the food supply-demand system, and an indirect impact through decreasing purchasing power and the capacity of food distribution and marketing, and increasing healthcare tasks . EconomiSuch a fact will cause severe effects worldwide, with larger effects seen on both the economies and sociodemographics of developing areas. The livestock sector is estimated to account for about 40% of global agricultural output value and two-thirds of the 600 million livestock keepers worldwide are women, so the current situation compromises their economic empowerment , 8. FarmThe closure of meat and milk processing plants has also contributed to the sharp disruption in the livestock supply chain, leading to substantial losses in production capacity and animal products. For instance, in the USA, the loss of production capacity due to the closure of plants have reached up to 25 and 43% for beef slaughterhouses, respectively . The porThis review discusses how the COVID-19 outbreak may affect animal welfare and livestock, the dairy and meat industry, and supply chains by using available scientific/organizational reports, and cited observations and complaints of farmers. Such data may help in taking suitable measures to improve the current status and to pose lessons for the future, avoiding the emergence of food insecurity.Homo sapiens) and other animals, including birds and mammals and laboratory animals and camels (genus Camelus), inducing diarrhea, fever, and respiratory diseases, and thus causes negative impacts on animal welfare/productivity and farm profitability (Sixty percent of emerging contagious diseases have a zoonotic origin. Coronaviruses (CoVs) were first identified in the mid-1960s and are known to infect humans , rodents (order Rodentia), civets (Civettictis civetta), cats, pangolins (Family Manidea), minks (Neovisonvison), and tigers (Panther atigris), were found to test positive for COVID-19 (Canis lupus familiaris) and cats (Sus scrofa), cattle and sheep (Family Bovidae), horses, and poultry for antibodies of COVID-19 revealed negative results or Suidae (pigs) as well as poultry are not COVID-19 reservoirs (Rhinolophus species) coronavirus HKU2, suggesting both a bat origin of the pig virus and a jumping across species the main reservoir of COVID-19 are bats; (2) some wild , farmed (mink), and domestic (cats and dogs) animals can be a reservoir; (3) there is a possibility for the transmission of COVID-19 from humans to animals, animals to humans, and human to human; and (4) livestock belonging to the family the mainservoirs . Despite species , 32. Ano species . Accordi species , 31. HenRegarding the handling and consumption of animal products, there is no direct evidence on food-borne infection, including meat and milk. Precautions and hygienic measures are advisable since there is a possibility that contamination of food materials can occur through the handling of food by infected individuals. These precautions and sanitary measures include hand washing or sanitizing following the processing of fresh and packaged animal products, avoiding contact between fresh and cooked food materials, consuming well-done cooked meat, and extending meat and meat-processed materials' freezing time by more than 2 days before consumption .It is expected that the sudden restriction on human activities and the economic crisis will affect farming and veterinary services, and therefore, affect animal health . The COVFurthermore, some associations, such as the Canadian Cattlemen's Association, has called farmers to put cattle on maintenance rations rather than finishing rations to limit feedlot placements, coping with the closure of processing plants, and limited market capacities . Also, tLivestock production farming systems and their supply chains are challenged by many logistical supply interruptions, like most other agricultural enterprises. The COVID-19 outbreak interrupted livestock chain sustainability in different areas, from the production process to marketing and consumption of animal products . The priRestrictions on import/export activities and local movements have prevented farmers from accessing livestock production inputs and given them limited marketing opportunities. The limitation of movements and the disruption of national and international trade routes drive to a substantial decrease in vital livestock farming materials and facilities, such as feed materials, replacement stocks , drugs and vaccines, feed additives, and other livestock farming inputs . For insSeveral companies working on vaccines, animal health products, feed additives, milk testing kits, and spare parts of pasteurization equipment to small-scale meat and dairy producers have indicated that the reductions in fluidity and foreign exchange were other significant factors affecting the sustainability of the livestock supply chain, specifically in developing countries . There iIt is widely believed that agricultural sectors, including meat and dairy production sectors, are heavily labor-dependent sectors. The COVID-19 outbreak has caused a severe shortage of labor numbers and workforce in both developed and developing countries, which is more problematic for countries that depend on an imported workforce, such as European countries . This shXinfadi market in Beijing's largest wholesale market facilitating the direct distribution of food/animal products to consumers and offering electronic marketing platforms (China and Morocco); (2) providing livestock production inputs, such as animal feeds, drugs, and machines ; (3) supporting the resumption of meat/milk processing enterprises (China); (4) creating agricultural, healthcare, and animal diseases control extension programs; and (5) providing direct funding support to seasonal and informal labors , 49, 55.in vitro as an eco-friendly production technique, as methane emission by farm animals will be reduced , to the food supply chain as alternatives to animal protein sources is one of the suggested strategies , 56. Ano reduced , 58. How reduced . This al reduced , 61. Fur reduced . Recentl reduced . In this reduced .The availability of animals', feed ingredients, either through foraging or concentrate ingredients, was an additional challenge confronting the sustainability of the livestock supply chain. Data presented in our overview illustrated that one of the livestock supply chain's major disruptors was the inability of farmers to access animal feed. The restriction on import/export activity has negatively impacted the availability of essential feed ingredients . AcThe experience acquired through the COVID-19 crisis may also contribute to optimizing the part of the livestock supply chain that includes processing, retail, and marketing through strengthening the connection between producers, retailers, targeted markets, and consumers . The ineUnfortunately, to date there is no particular vaccine or therapeutic protocol to control the spread of COVID-19, and forecasts predict the continuation of this pandemic for a long time. In this scenario, livestock farmers have to be aware of different measures that they can apply themselves to maintain safe and efficient livestock farming. Successful farmers should maintain farm biosafety , 15, worIn this overview, we illustrated the significant disruptions that occurred in livestock, milk, and meat supply chains due to the outbreak of COVID-19. The COVID-19 pandemic revealed that, despite the vast advancements in knowledge and informatics technologies, we still need to create innovative applications and measures that can support the world against any future pandemic disasters. It is now clear that pandemic disasters are not only a matter of human health insecurity but can also encompass food insecurity and economic recession, increasing poverty and famines worldwide.NH: creating the main idea and writing the first draft. AG-B and AR-M: reviewing and final preparation of the manuscript. All authors approved the content for publication.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Rheumatology as a research-intensive discipline may particularly benefit from the emerging digital evaluation tools, systematic search engines, distribution platforms, and repositories. Currently, processing journal submissions through advanced online systems allows detecting major inconsistencies and mistakes in research reporting and formatting manuscripts. Such systems, linked to regularly updated reviewer instructions of global editorial associations and supported by external bibliographic searches, enable fast evaluation of the novelty, originality, methodological rigour, and implications of the manuscripts by peer reviewers.In times of information deluge, editing and publishing a scholarly journal is increasingly dependent on digital tools and artificial intelligence.Open Researcher and Contributor IDs , are now employed by most publishers to validate individual profiles at the peer review and increase visibility of their contributions post-publication. The Mediterranean Journal of Rheumatology has also encouraged its contributors to register with and submit informative ORCID iDs with biographical notes, publication lists, and other academic accomplishments. The ORCID iDs are now integrated with the the Publons platform (https://publons.com), yet another indispensable digital tool for crediting reviewers and selecting active and skilled experts for further evaluations.3 Notably, the number of academic contributors with ORCID iDs is fast approaching the level of 6 million, and more publishers and standalone journals are partnering with Publons to streamline the peer review activities and global recognition of their reviewers. With the integration of Publons with Web of Science in 2017 and further upgrades of the platform, the registered scholars are now offered automatic updates of their profiles by listing their WoS-indexed articles and tracking related citations. Publons profiles are particularly valued by emerging scholarly journals, aiming to attract scarcely available reviewers and increase the quality of peer review.5 The total number of registered reviewers on Publons is 541,093, including 571 in rheumatology . The Mediterranean Journal of Rheumatology acquired its profile on Publons this year to increase transparency of the peer review activities and give deserved academic credits to its best contributors .The author and reviewer identifiers, and particularly the Crossref, a powerful system for cross-linking references and updating individual digital profiles (http://crossref.org/). Launched in 2000, Crossref is currently run by the Publishers International Linking Association. The reference validation and formatting tools supported by Crossref permanent identifiers guarantee the accuracy of technical editing, formatting, and detecting plagiarism, to name just a few advantages of the system. With the expansion of Crossref services and integration with journal platforms , ensuring the efficiency of online publishing, navigating through myriads of scientific articles, and indexing with bibliographic databases are becoming closely interconnected. Once and for all, the concept of discoverability of scholarly items and systematic searches through online databases has shifted towards permanent article identifiers.7 Given the growing importance of the Crossref services, a decision was made to acquire DOIs for the Mediterranean Journal of Rheumatology this year to benefit from vast opportunities of improved visibility and integration with digital platforms and databases.The speed of processing and visibility of scholarly contributions are also increasingly dependent on Digital Object Identifiers (DOIs) issued by 8 The absolute majority of open-access medical journals have benefited from archiving by PubMed Central, the largest digital repository of medical articles. The editors\u2019 relentless efforts aimed to archive the Mediterranean Journal of Rheumatology by PubMed Central will widen prospects of indexing for this rapidly developing periodical.Over the past two decades, open-access publishing has increased global visibility and international recognition of journals across numerous subject categories. Various open access models have increased article views, downloads, and citations, transforming all these benefits into the scientific prestige of emerging and research-intensive fields of science.Mediterranean Journal of Rheumatology, and related links are embedded in the journal instructions: the Budapest Open Access Initiative (2002) and the Berlin Declaration on Open Access (2003).10 In line with the statements of these documents, the Open Access initiative is primarily aimed to increase the use of published items for research and education.11 Additionally, the improved visibility, one of the main achievements of the initiative, has enabled detecting and \u2018cleaning\u2019 erroneous and fraudulent literature.12 Although the main attribute of Open Access is free access to published works for readers, there are other, not less important, components related to digitization, preservation, and archiving. To meet the requirements of Open Access and satisfy indexing criteria of most bibliographic services, medical journal editors should familiarize themselves with the Journal Article Tag Suite (JATS) format of Extensible Markup Language (XML), which is employed by the National Library of Medicine of the US for encoding PubMed Central-archived items.13 The XML format enables machine-readability and makes it possible to index quality journals by most prestigious bibliographic databases and digital repositories.The basic principles of Open Access are outlined in two seminal documents, which are consulted by the editors of the Mediterranean Journal of Rheumatology to the area of medicine of the registry is an exemplary achievement for the whole field of rheumatology .While Open Access is gaining momentum and numerous journals opt for different models of open-access publishing , several global initiatives have been launched to distinguish periodicals with reliable peer-reviewed contents from spurious online platforms of wasteful publishing. The Directory of Open Access Journals (DOAJ) is one such initiative with strict scientific and technical criteria, listing 12,397 open access journals from 129 countries and offering records of 3,600,965 for systematic searches . The number of the listed medical journals is 699, with 472,913 linked items available for searches. The latest incorporation of the 14 The declared by the Mediterranean Journal of Rheumatology adherence to these principles is essential for its development and ethical promotion.Launched in 2003, the DOAJ project has passed a long way and become a \u2018whitelist\u2019 of reliable periodicals. The DOAJ collaborated with several global editorial associations to set principles of transparency in publishing.16 For medical journals, the DOAJ listing is proposed as one of the requirements for indexing by PubMed and archiving by PubMed Central.17 In 2015, the Scopus database introduced the open access indicator for separate marking DOAJ-listed journals, making it easier to navigate and search through the growing number of open-access periodicals which passed stringent quality checks.18 Notably, the SCImago Journal & Country Rank platform currently ranks 34,171 Scopus-indexed periodicals across all subject categories, including 4,504 for open access. In the field of rheumatology there are 60 Scopus-indexed periodicals, with 20 registered with DOAJ . These numbers will definitely continue to grow in the future.Acquiring the seal of DOAJ is a milestone in the journal digitization and recognition by the scientific community.International Committee of Medical Journal Editors is perhaps the most important association; offering frequently updated editorial guidance for authors, reviewers, and editors. Editors claiming adherence to the ICMJE recommendations and enforcing its points in their daily practice offer good service to their community of authors and readers. Exemplary, the editors of the Mediterranean Journal of Rheumatology registered their interest in the recommendations at the ICMJE website in 2017.19While the recent digital innovations enormously influence the speed of publishing, editorial credentials still remain precious assets for the quality of publishing and impacting science. The journal editors with connections to global and regional editorial associations are capable of establishing networks of skilled peers, share experience, and add to the scientific prestige of respective periodicals. In the field of medicine, the 20 The editorial credentials and reviewer responsibilities are currently highlighted in the documents published by the Committee on Publication Ethics, the largest association of editors with more than 12,000 members. Member-editors of the COPE are now offered a set of updated recommendations about authorship problems, conflict of interest disclosures, ethics approval, copyright issues, journal management, and retractions.21 The latest incorporation of the updated publication ethics points into the instructions of the Mediterranean Journal of Rheumatology is an exemplary move towards better quality control for disseminating reliable information for the respective regional community.Several other global associations also allow advancing scientific and publishing editors\u2019 skills."}
+{"text": "This dataset presents data collected from household surveys from Upper Madi Watershed of Nepal describing the benefits of non-timber forest products (NTFPs) to people of mountain ecosystems, their perceptions of climate change, and perceived impacts of climate change on NTFPs ecosystem services. The data were collected from 278 households that were randomly selected from the four villages in the watershed during the period September to December 2019. The survey assessed socio-demographic information; collected and utilized NTFPs; perceptions of climate change, and; perceived impacts of climate change on NTFPs ecosystem services. These data are important in understanding the benefits of non-timber forest products in mountain ecosystems and the impacts of climate change as the benefits and impacts are currently not well understood. The data will be helpful in formulation and implementation of adaptation strategies to sustain the supply, protection, and management of NTFPs in mountain ecosystems. The survey data include the following sections: a) socio-demographic information of respondents including age, gender, ethnicity, educational background and occupation b) utilization of non-timber forest products by mountain communities c) perceptions of climate change d) Perceived impacts of climate change on non-timber forest products ecosystem services. The questionnaire is provided as a supplementary file. Social-demographic characteristics are presented in The details of non-timber forest product use in the Upper Madi Watershed of Nepal, number of non-timber forest plant species, purpose of NTFPs collection, respondent perceptions of climate change, perceived impacts of climate change on non-timber forest products ecosystem services are described in 2This research was based on primary data collection through a household survey Ethical approval was obtained from the faculty of Science Engineering and Built Environment Human Ethics Advisory Group, Deakin University (reference number STEC-31\u20132019-GURUNG). Respondents\u2019 participation was completely agreed, voluntary, and anonymous.Lila Jung Gurung: Conceptualization, methodology, data collection, and writing of the manuscript.Kelly Miller, Susanna Venn, and Brett A Bryan: Conceptualization, methodology, review and editing the manuscript.The authors declare that they have no known competing financial interests or personal relationships which have, or could be perceived to have, influenced the work reported in this article."}
+{"text": "The steppe zone is the huge area in temperate Eurasia where different grasslands form the main type of vegetation. The main part of this life zone has been transformed by human activity and used for crop cultivation (mainly wheat) and livestock. Regional and local transformations and/or climate changes can result in some shifts in species and population distribution of Orthoptera. Over this area, the climatic conditions and the dominated grasslands are suitable for numerous grasshoppers and their relatives, especially the graminivorous ones. The general level of their diversity is usually high. Many species are very abundant and may become important pests. However, there are also many rare species. The main aims of this paper are to reveal general patterns of Orthoptera distribution in the Eurasian steppes, to evaluate long-term trends of changes in distribution of taxa and populations, and to estimate the potential for population changes relative to human activity and global warming trends.Locusta migratoria, Calliptamus italicus, Dociostaurus maroccanus) is also discussed. Some notable changes of their populations\u2019 distribution and dynamics are characterized. The situation with rare Orthoptera is estimated. Retrospective and prospective of the steppe fauna of Orthoptera are discussed.The main aims of this paper are to reveal general patterns of Orthoptera distribution in the Eurasian steppes, to evaluate long-term trends of changes in distribution of taxa and populations, and to estimate the potential for population changes relative to human activity and global warming trends. The main publications concerning diversity and distribution of these insects over the steppes are analyzed. The fauna of the Eurasian steppes includes more than 440 species of Orthoptera. The general distribution of grasshoppers and their kin in the Eurasian steppes reflects their common associations with different grasslands. The species richness increases from the relatively cold forest-steppes to the semi-deserts with their warm summer. There are some endemic or subendemic taxa, including the tribe Onconotini (Tettigoniidae). The populations\u2019 distribution of Orthoptera is also analyzed. The populations of native Orthoptera extend through all the herbaceous landscapes. Under these conditions, the interrelating of colonies of each species may result in great abundance. The population distribution of three species locusts ( The steppe zone is the huge area in temperate Eurasia where different grasslands form the main type of vegetation ,2,3,4 F. The adjFrom the zoogeographic point of view, the steppe zone almost coincides with the Scythian (or Euro-Siberian Steppe) subregion of Palaearctic erected mainly on the basis of the species distribution analysis ,9,10,11.The main aims of this paper are to reveal general patterns of Orthoptera distribution in the Eurasian steppes, to evaluate long-term trends of changes in distribution of taxa and populations, and to estimate prospective of their population changes relative to human activity and global warming trends.Both qualitative and quantitative data were used. The analysis of geographic distribution was based on published and unpublished species range maps. Species data points for Eurasian Orthoptera were plotted onto base maps, usually on a scale of 1:25,000,000. My own collections, the collections of different museums, and published data were used ,9.2 (sometimes 0.5 \u00d7 0.5 m2 or 1 \u00d7 1 m2). After that, the average density was estimated for every habitat investigated. The samples were collected in the Eurasian steppe by the expeditions of Department of General Biology and Ecology (Novosibirsk State University) and the Laboratory of Insect Ecology from 1972 to 2020. Numerous published papers and books (see the next parts of the publication) describing orthopteran distribution in different parts of the steppe life zone were also analyzed. In almost all cases, I use modern names of taxa ); (3) mesophilous ), and (4) hydrophilous . Distribution patterns of two species, namely Calliptamus abbreviatus Ikonnikov and Omocestus haemorrhoidalis, were unique. The three most abundant species were also separated in time of their active life.Spatial and temporal heterogeneity and niche overlapping were also described for grasshoppers in the steppes of Inner Mongolia ,80. The In the steppes, acoustic and visual communication can serve as the very important mechanism for sharing ecological niches ,82. As aLocusta migratoria Linnaeus), the Italian locust , and the Moroccan locust (Dociostaurus maroccanus (Thunberg)), occur in the Eurasian steppe. These species have spatially structured populations with rather complicated dynamics. In some parts of their ranges, they are able to change their behavior from solitarious to gregarious and vice versa and irregularly produce devastating upsurges [Three species of locusts, namely the Migratory locust . However, these specimens mainly originated from South-East Kazakhstan , where sAchnatherum splendens (Trin.) Nevski on the lake terraces, some meadows with short mesophilous grasses along a small stream, and halophytic meadows in wide depressions near the lake. The Migratory locust was very abundant on the lake terraces; its density was up 1 ind. per m2. The locust aggregations were not observed both for adults and hoppers. The main traits were typical for the solitarious form, however, some traits of adults indicated that the population could be characterized by some level of gregarization [In 2017, a moderate population of the Migratory locust was found in Tuva (the Republic of Tyva) in the Altay-Sayan Mountains, near hypersaline Shara Lake. The discovered population inhabited several adjacent habitats: the local dry meadows with dominance of rization . The ratrization . The popThe Italian locust is a common species and the most important pest in the Eurasian steppes from their western limits up to the south-eastern parts of West Siberian Plain and East Kazakhstan. Numerous outbreaks of this species were described for these territories ,83,95,96Recently, the main data on the Italian locust distribution and ecology were summarized for the territory of the former USSR. The main part of the species range is connected with the semi-desert zone ,100,101.In the forest-steppes of West Siberia, the Italian locust is widely distributed. However, its populations are very localized and are at a low level of abundance across the overgrazed plain pastures. In the steppes, its populations occupy not only local watershed plains but the dry parts of upper flood plains and lower terraces and the stony southern slopes of hills. In this area, the specific additional optimum of this species is observed in the dry steppes of Kulunda . This opSpatial population distribution of the Italian Locust at periods between outbreaks both within the whole area and on better examining territory of the eastern parts of it range corresponds as a whole with the known rule of habitat change . In the It is important to recognize that the population dynamics within additionally infested areas differs significantly from those in the main area because Poa bulbosa Linnaeus and on undisturbed clay soils [The Moroccan locust occurs only in the European steppes and, furthermore, it is distributed over the steppes of the Crimean Peninsula and the North Caucasus . Howeveray soils . Intensiay soils . In the ay soils noted thay soils ,112. In ay soils ,111,112.Calliptamus italicus or Dociostaurus maroccanus) may be also almost extinct, but others are abundant [The fauna of the Eurasian steppes includes a few rare species. There are several implicit areas of Orthoptera diversity ,114. Theabundant ,111.Isophya boldyrevi Miram, I. doneciana, Bradyporus multituberculatus montadoni (Burr) (as a separate species\u2014M.S.). Listed as endangered (EN) are Isophya stepposa, I. zubovskii Bey-Bienko, Bradyporus macrogaster (Lefebvre), and Asiotmethis tauricus. Some forms (including widely distributed Saga pedo and Stenobothrus eurasius) are vulnerable (VU). This list does not include one of the rarest taxa of the European steppes\u2014Bradyporus multituberculatus multituberculatus. The species is on the Red Books of Russia and Ukraine [About 1500 orthopteran species are now on the International Union for Conservation of Nature (IUCN) Red List of Threatened Species , and man Ukraine . It was Ukraine ,119. ForSaga pedo, Gampsocleis glabra (Herbst), Onconotus servillei ). However, some endemic and subendemic genera, species, and subspecies occur in the central and the eastern parts of the Eurasian steppes. Some of them are known from one or several localities. Besides, populations of many orthopteran insects can decline in regions with intensive agriculture.Unfortunately, the actual version of the IUCN Red List of Threatened Species does not include the steppe species associated with the steppes of South Siberia, Kazakhstan, Mongolia, and North China or with the steppe mountain landscapes of mountains of Central Asia. There are only some widely distributed species . The distribution patterns of several species, e.g., Asiotmethis muricatus , Notostaurus albicornis (Eversmann), and Mesasippus arenosus, did not change significantly during the last decades. Two species, namely Megaulacobothrus aethalinus and Aeropedellus variegatus, were recently found near the boundaries of the region. Four species , Stenobothrus carbonarius (Eversmann), Sphingonotus coerulipes) are extremely rare now. The local populations of almost all rare species are usually associated with a few types of habitats. This means that intensification and changes of human activity may result in their extinction.Recently, distribution patterns of rare acridid species in the south-eastern part of West Siberian Plain were analyzed . The ranReconstruction of the past of many taxa and faunas is problematic. The most important problem is the shortage of appropriate fossils. This results in development of different hypotheses explaining geographic and ecological history of different taxa and faunas. In the absence of adequate fossil data, some possible approaches can be based on a complex analysis of the ecological factors, adaptations to particular living conditions, and the optimum conditions, which can be estimated by some comparative studies of species range shapes and the population distribution within the range ,60,70.Chorthippus and its relatives), the genera Podisma Berthold, Stethophyma, Podismopsis Zubovsky, etc. He also mentioned some relationships between the Angarian fauna and the faunas of the southern parts of East Asia. Bey-Bienko [The history of Orthoptera of the Eurasian steppes was discussed in a number of papers. A century ago, Uvarov ,123 and y-Bienko ,65,124 hy-Bienko ).One of the principal results of retrospective views on faunas and populations is the opportunity to forecast their possible changes in the future. If the trend of global warming continues, the steppe zone will shift northwards , and theThe steppe species will shift the northern boundaries of their ranges northwards, and some of them will be able to use numerous transformed habitats, such as clearings, roadsides, agricultural fields, and pastures . BesidesIsophya costata and also Saga pedo, Arcyptera fusca, A. microptera , and Stauroderus scalaris, due to human activityIn Hungary, B. Nagy noted siArcyptera fusca, A. microptera, Stenobothrus fischeri, Bryodemella tuberculata, Psophus stridulus Linnaeus, and Sphingonotus caerulans Linnaeus. He explained this declining by intensification and some changes of human activity. Besides, the isolated colony of Sphingonotus coerulipes was unexpectedly found on stockpiles of mining plants.In the northern steppes of Central Russian upland, A. V. Prisny showed pPodisma pedestris, Euthystira brachyptera (Osckay), Gomphocerus sibiricus, Psophus stridulus, Bryodemella tuberculata, etc., were found here in the middle of the 19th century [Dericorys tibialis , Heteracris adspersa (Redtenbacher), Sphingonotus halophilus Bey-Bienko, Ramburiella turcomana , etc.) [Glyphonotus thoracicus mainly associated with river valleys of deserts and semi-deserts was recently found in the southern parts of the steppes of Central and North-East Kazakhstan [Significant changes of orthopteran diversity were revealed for the vicinities of Lake Baskunchak in the semi-deserts of South-East Europe . Several century but disa century supposed), etc.) . The buszakhstan .Gomphocerus sibiricus significantly declined in the plain steppe habitats during the last decades [Podisma pedestris, Sphingonotus coerulipes) became very rare [Arcyptera microptera), some others crossed more than 100 km , Conocephalus fuscus (Fabricius), Dociostaurus brevicollis, Oedipoda caerulescens (Linnaeus), Oedaleus decorus, Epacromius pulverulentus) [Our published and unpublished data show conspicuous changes in distribution of several species in the south-eastern part of West Siberian Plain during the last decades. Populations in the first half of the 20th century of the widely distributed and abundant decades . Severalery rare ,114. Howulentus) ,114. Almulentus) ,131 and ulentus) . On the I can conclude that, during last decades, biological diversity, geographic, and ecological distribution of Orthoptera over the Eurasian steppes have been characterized by rapid changes due to climatic variations and changes of local human activity. In many cases, we can observe declining and elimination of local populations but, on the contrary, other species can colonize new areas and habitats. This is true for both possible pests and rare species. This means we should constantly monitor orthopteran populations and assemblages over all huge territory occupied by the steppe biome."}
+{"text": "The peer review system is the soul of the Scientific journals. This process became an institutionalized part of the scholarly process in the latter half of the twentieth century . The serIn 2020 the International Brazilian Journal of Urology received more than 900 papers and the reviewers were very important to the entire process of our Journal. As a Editor-in-Chief I would like to thanks all the reviewers and specially the Doctors: Alexandre Danilovic, MD ; Ralf Anding, MD ; John Denstedt, MD, PhD (Western University Canada); Trushar Patel, MD (University of South Florida) and Gustavo Ruschi Bechara, MD who reviewed more than 5 articles during the year and strictly within the deadline.Thanks a lot!!!!!Luciano A. FavoritoEditor-in-ChiefInternational Brazilian Journal of Urology"}
+{"text": "Molten salts play multiple important roles in the electrolysis of solid metal compounds, particularly oxides and sulfides, for the extraction of metals or alloys. Some of these roles are positive in assisting the extraction of metals, such as dissolving the oxide or sulfide anions, and transporting them to the anode for discharging, and offering the high temperature to lower the kinetic barrier to break the metal-oxygen or metal-sulfur bond. However, molten salts also have unfavorable effects, including electronic conductivity and significant capability of dissolving oxygen and carbon dioxide gases. In addition, although molten salts are relatively simple in terms of composition, physical properties, and decomposition reactions at inert electrodes, in comparison with aqueous electrolytes, the high temperatures of molten salts may promote unwanted electrode-electrolyte interactions. This article reviews briefly and selectively the research and development of the Fray-Farthing-Chen (FFC) Cambridge Process in the past two decades, focusing on observations, understanding, and solutions of various interactions between molten salts and cathodes at different reduction states, including perovskitization, non-wetting of molten salts on pure metals, carbon contamination of products, formation of oxychlorides and calcium intermetallic compounds, and oxygen transfer from the air to the cathode product mediated by oxide anions in the molten salt."}
+{"text": "In 2018, the government of the Republic of Korea (ROK), South Korean life science companies, and a group of international funders led by the Bill & Melinda Gates Foundation launched a new and innovative funding agency to support neglected-disease research and development (R&D). The new venture is known as the Research Investment for Global Health Technology (RIGHT) Fund. At the end of the Korean War in 1953, ROK was a devastated nation and ranked among the poorest in the world. A decade later, in response to its high prevalence rates of poverty-related neglected diseases, including soil-transmitted helminth infections, malaria, and tuberculosis, the ROK government in collaboration with a Korean Association for Parasite Eradication (KAPE) began programs of infectious and parasitic disease control . In someToday, the ROK boasts the 11th largest economy globally and one of the most advanced economies in Asia, with a gross domestic product (GDP) of 1.7 trillion USD . RecogniA key element of the ROK\u2019s economic success is its vigorous and productive life sciences and pharmaceutical industry, with advanced capabilities for drug, diagnostics, and vaccine development. The ROK has also well positioned to lead the convergence and integration of biotechnology, information and digital health, and communication technologies (ICT) for disease prevention, diagnosis, and treatment. These features afford a unique opportunity for the ROK to leverage and incorporate R&D into its programs of ODA.Recognizing the ROK\u2019s dual capacity to both contribute ODA at a high level and pursue a vigorous R&D agenda, the Bill & Melinda Gates Foundation pursued a partnership with both the ROK government and South Korea\u2019s life sciences industry for developing an innovative fund for neglected-disease technologies. Such activities built on a previous success in Japan where the Global Health Innovative Technology (GHIT) Fund was established in 2013 . HoweverIn July of 2018, a new Research Investment for Global Health Technology (RIGHT) Fund was created as a three-way nonprofit partnership between the Ministry of Health and Welfare (MOHW) of the ROK government, South Korean life science companies, and the Gates Foundation, in addition to other international funders 6]..6].Central to the RIGHT Fund is an innovative platform for the Korean partners to expand their contributions to global health and neglected-disease R&D projects, with a long-term objective to develop and deliver new neglected-disease drugs, diagnostics, and vaccines .An overall project goal of the RIGHT Fund is \u201cto advance the discovery and development of new health technologies to meet the needs of Low and Middle Income Countries (LMICs) by leveraging the intellectual, technological, and financial resources of the ROK\u201d . The FunThe RIGHT Fund operates through a management team that includes an Executive Director, together with individuals who lead operations in three areas\u2014strategy, investment planning and management, and government relations. The RIGHT Fund management works with an independent selection committee and reports to a Board of Directors composed of representation from the Korean MOHW and Korean Centers for Disease Control & Prevention (CDC), in addition to an ex officio observer from the Gates Foundation, and members at large. Also overseeing the entire RIGHT Fund is a Council with representation from the Korean MOHW, National Institute of Health, IVI, Gates Foundation, and the leadership of the five major South Korean life sciences industries.The technologies advanced by the RIGHT Fund are driven by the needs of the low-resource countries, typically measured through years of life lost or years lived with disability; their potential for impact; and whether they leverage the current strengths of life sciences R&D within ROK. An applicant should involve at least one Korean research organization or company. Another criterion is the potential of the technologies selected to expand the invovlement of Korean life sciencies organizations in the global health space and ecosystem. Fairness and transparency are also paramount. The three major technological areas include vaccines, therapeutic drugs, and diagnostics, with each area considering new approaches and constructs, product improvements, or patient access 6]. Req. Req6]. Haemophilus influenzae type b (Hib) vaccine. The therapeutic is a low-cost manufacturing process for a new antimalaria drug from the product development partnership (PDP) Medicines for Malaria Ventures (MMV), together with the Korean life sciences company SK Biotek. The two diagnostics are (1) a second-generation test for glucose-6-phosphate dehydrogenase (G6PD) from the Seattle-based PDP, PATH, and the Korean life sciences company SD Biosensor and (2) a point-of-care diagnostic for detection of Mycobacterium tuberculosis and multidrug-resistance mutations from a PDP with diagnostics expertise, Foundation for Innovative New Diagnostics (FIND), and Bioneer, another Korean company [In its first year of operations, investments have been made in five technologies: two vaccines, one therapeutic agent, and two diagnostics. The two vaccines include (1) a novel conjugate cholera vaccine under joint development by Harvard Medical School, Massachusetts General Hospital, IVI, and EuBiologics (a Korean life sciences company) and (2) a hexavalent vaccine produced by LG Chem, another Korean life sciences company, which combines diphtheria whole-cell pertussis-tetanus toxoid vaccine, inactivated polio vaccine, recombinant hepatitis B vaccine, and The concept of \u201cblue marble health\u201d finds an unexpected level of neglected-disease burden among the poor living in the Group of 20 (G20) nations ["}
+{"text": "To strengthen the fight against malaria, it is imperative to identify weaknesses and possible solutions in order to improve programmes implementation. This study reports experiences gained from collaboration between decision-makers and researchers from a World Bank project . The objectives of this paper were to identify bottlenecks in malaria programme implementation as well as related research questions they bring up.Questionnaire addressed to National Malaria Control Programme managers and prioritization workshops were used as a medium to identify research questions. The bottlenecks in malaria programme implementation were identified in seven thematic areas namely governance, human resources, drugs, service provision, use of prevention methods, monitoring and evaluation (M and E), and public support or buy-in. The first five priority questions were: (1) compliance with drug doses on the second and third days during the seasonal chemoprevention (SMC) campaigns, (2) the contribution of community-based distributors to the management of severe cases of malaria in children under 5\u00a0years, (3) the SMC efficacy, (4) artemisinin-based combination therapy (ACT) tolerance and efficacy according to existing guidelines, and (5) the quality of malaria control at all levels of the health system.This work showed the effectiveness of collaboration between implementers, programmes managers, and researchers in identifying research questions. The responses to these identified research questions of this study may contribute to improving the implementation of malaria control programmes across African countries. More often than not, local social determinants of health are hidden or overlooked by funding agencies, institutional researchers, and health systems, yet they may be slowing down or reducing programme implementation and impact. In addition, many of the physical constraints that impede the regular and effective delivery of health interventions to those who need them are much more pronounced in Low-to-Middle-Income Countries (LMIC) than in high income countries . Hence bIndeed, despite recent trends showing a reduction in malaria mortality rates in Africa generally, and in the region in particular , mortaliThis study reports experiences gained from collaborations between decision-makers and researchers, a part of a project undertaken in the framework of the regional World Bank funded project titled: Malaria and Neglected Tropical Diseases in the Sahel (SM/NTD). The objLocal and primary providers along with malaria programme managers were approached in the 15 countries of the Economic Community of West African States (ECOWAS), including eight French-speaking, five English-speaking and two Portuguese-speaking countries using two approaches, namely: a questionnaire survey and regional validation workshops were held as part of the activities of the SM/NTD project. This study only focuses on malaria.The questionnaire translated into the three official languages of ECOWAS, namely English, French and Portuguese, were sent to the malaria control programmes managers in the last semester of trimester of 2016. The questionnaires were divided into two (2) parts: (i) Bottlenecks in malaria programme implementation (ii) Priority research questions on malaria programme. Each part covered seven thematic areas: governance, human resources, drugs, service provision, use of prevention methods, monitoring and evaluation (M and E), and public support or buy-in. Questionnaires were thereafter sent through electronic messages (Email) to National Malaria Control Programme (NMCP) managers/coordinators of the 15 ECOWAS countries, with instructions on how to fill the questionnaires.Follow up actions were undertaken for two months to obtain a satisfactory response rate. Even though the countries have similarities as well as differences regarding their governance structure, epidemiological trends, and public health research, the authors conducted an initial in-depth analysis country by country. They then split bottlenecks recorded and questions into the seven \u201cECOWAS regional topics of interest\u201d according to the thematic areas mentioned above. This analysis was then presented at the ECOWAS malaria regional workshop.A two-day regional workshop was organized in Bamako by the West African Health Organization (WAHO), the ECOWAS specialized institution dealing with health concerns, such as malaria as well as NTDs programmes in West Africa. Participants included malaria programme managers, NTDs programme managers, Directors of Public Health of the various Ministries, monitoring/evaluation officers, countries project management unit coordinators, technical and financial partners . The results of the questionnaire survey were analysed, presented, and discussed in two plenary and two breakout sessions.The first breakout session on malaria was organized with two groups of 12 people each. The breakout sessions brought together malaria programme coordinators, researchers, partners, and the regional project team. These teams worked to validate the research problems and questions. The two breakout teams were tasked to review, complete the problems, prioritize, and justify the research questions. The two breakout teams reviewed the survey results using individual and average ratings. For the first plenary session, each group was instructed to choose the top 20 research questions. On the second plenary session, the representative of each group shared the top 20 research questions they have selected. The questions selected by the participants clarified some research questions and allowed to finalize list related to malaria management.The second breakout session focused on individual countries\u2019 participants. The participants worked together to select three priority research questions from the list of questions established during the plenary session. Representatives of each country were asked to prioritize the three questions they selected and to address them over a three-year period. Finally, a third plenary session allowed each country\u2019s team to share their key questions to address and prepare a plan for the subsequent years, 2017, 2018 and 2020.The workshop was moderated by a expert in parasitology and malaria research from West Africa and at the end, the moderator reformulated some of the questions and justifications in accordance with the adopted guidelines.Out of the 15 ECOWAS countries, 11 responded to questions related to malaria and Table In all seven thematic areas, there were challenges that limited the effectiveness of programme implementation. In the area of governance, issues of coordination and collaboration with partners in the field came up as well as weaknesses in the managerial capacity at the regional and district levels. The human resources problems identified were mainly related to capacity, competence, motivation of community health workers, weaknesses in research skills and capacity of programme actors. There were also difficulties in the area of management of medicine logistics, from ordering commodities to the distribution to patients, and also difficulties in pharmacovigilance. In service provision thematic area, difficulties of direct observed treatment were pointed out, especially for the second and third day doses of SMC, while for prevention, low uptake of vector control measures, the absence of insecticides for the impregnation of protective materials, and the low use of protective means were the major problems mentioned. In terms of monitoring and evaluation, challenges of access to quality data, especially from the community level, and inadequacy in the dissemination of research results were reported.Finally, in terms of public support, refusal or reluctance to participate in mass drug distribution during SMC campaigns, failure in adopting preventive measures and behaviour were reported by programme managers.Table The first five priority questions were related to (1) compliance with drug doses for the second and third days of SMC campaigns, (2) contribution of community-based distributors to severe malaria cases management in children under 5\u00a0year, (3) SMC efficacy, (4) ACT efficacy and tolerance of ACT under current guidelines, and (5) quality of malaria cases management at all health system levels.The prevention theme was ranked first with five questions, followed by the governance and medicines with four questions, and the monitoring and evaluation (M and E) with three questions. The five prevention questions were related to the effectiveness and non-use of long-lasting insecticidal nets LLIN), the level of use and effectiveness of indoor residual spray (IRS), conducting a study on the effectiveness of mosquito soap, and the possibility of using two insecticides to impregnate nets. Governance issues were related to the best strategy for the implementation of SMC campaigns, quality of malaria case management at all health system levels, the place of information and communication technology in data quality management and the type of collaboration framework between the Ministry of Health and partners. For the medicines theme, the four priority questions focused on the efficacy and tolerance of ACT under current guidelines, the side effects of ACT, the efficacy of traditional medicines and the comparative advantage of the dihydroartemisinin (DHA)-piperazine combination over sulfadoxine\u2013pyrimethamine (SP)\u2009+\u2009amodiaquine (SP-AQ). Regarding M and E, questions related to adherence for the second and third dose during seasonal chemoprevention campaigns, the performance and use of rapid diagnostic tests. In terms of human resources, the two priority issues were related to the contribution of community health workers in severe malaria case management and the supervision of the second and third doses during SMC campaigns. At the service delivery level, both issues were related to the quality and performance of the drug supply and management chains. Finally, in terms of public support, the questions were related to communication channels, media and strategies to ensure behavior change. Table It was noted that the research questions related to factors influencing adherence to second day (day 2) and third day (day 3) doses of SMC were highlighted as first priority by Mali and Niger participants. The same questions were flagged as second priority by Burkina Faso participants. It was followed by questions related to the contribution of community health workers in the supervision of the second and third doses of drug during the SMC campaigns in Burkina and Niger. The final ones were in order of importance, the questions on the most efficient strategy in the implementation of SMC in Burkina Faso, the toxicological effects of administering multiple doses of SP-AQ in children, the impact of communication interventions in 2nd and 3rd days in Mali, and the therapeutic effectiveness of SP-AQ in Niger.This work allowed the identification of key challenges limiting the implementation of NMCP in West Africa. Priority research themes in malaria has helped to highlight similarities between countries regarding malaria control programmes. Most of the bottlenecks highlighted by this work are related to the poor coordination and collaboration with partners, the skills and motivation of community health workers responsible for drug distribution during mass treatment. In addition, the bottlenecks were also due to weaknesses in the supply and distribution chain, poor use of prevention measures, difficulties in accessing quality data, especially at community level, and the population buy-in and acceptance of strategies. The problems that have emerged in malaria control programmes in this work have already been reported by some authors in Africa \u201311. The This work was designed to assess the implementation, operational bottlenecks, and success of public health practice in West Africa. Furthermore, this study evaluated the relationship between programme implementing actors, African researchers, and the constraints they face in their respective countries. Local researchers should work in coordination with programme actors to address local problems. The New Partnership for Africa\u2019s Development (NEPAD)\u2019s Consolidated Plan of Action 2005\u20132014 (CPA) and the Science Technology Innovation Strategy 2024 attempteThe landscape of global health keeps changing because new innovations and new discoveries are being implemented in interventions against emerging diseases (infectious and non-communicable). New discoveries either technically or \u201cprocess, are not easy to incorporate in public health interventions since they require drawing new strategic plans and other logistics. Hassan has repoPlasmodium falciparum carriage rate in the SMC implementing areas; on adverse toxicological effects of multiple administration of SP-AQ, and on potential factors affecting adherence to mass drug administration (MDA) in nomadic population.After the identification of research priority questions, the project funded some research activities taking into account these priorities. For instance, a regional research was commissioned in the three countries related to the factors that influence adherence to day 2 and day 3 doses during SMC. The research started in 2018 and the primary result will be obtained in 2020. The overall results will be validated in the countries and published in 2021. Still at the regional level, a second research was conducted to analyse all communication interventions and impact on malaria programmes. Currently the preliminary results on the mapping of communication interventions are being finalized and the impact study is ongoing. Between 2018 and 2020, a lot quality assurance sampling survey (LQAS) was conducted in Burkina Faso and Mali in order to analyse the performance of the SMC campaign. Further research work is needed to on research questions not addressed in this study. In Mali, three studies were conducted including the prevalence of This study showed the effectiveness of collaboration between policy makers and researchers in identifying and funding research needed to improve malaria control programmes. The research questions identified can be adapted to other ongoing research to improve malaria control in different countries."}
+{"text": "The endocannabinoid system (ECS) is a complex signaling system that includes cannabinoid receptors, their endogenous ligands (endocannabinoids), and biosynthetic and hydrolytic enzymes . ECS conThis Special Issue of the International Journal of Molecular Sciences is a collection of eight review articles and five original research articles, and offers an updated overview of current knowledge on ECS in both physiological and pathological conditions. An update on the epigenetics of the ECS has been reported in the review article by the group of Pierantoni, with focus on its emerging role in reproduction and fertility. ECS undergoes epigenetic modulation by life style and environmental factors, with consequences on health and disease. Nevertheless, the modulation of ECS induces epigenetic changes, to different extents, of target genes, with possible trans-generational effects in the off spring through the transmission of deregulated epigenetic marks in the gametes .Cnr1-/- knockout mice, the authors demonstrate the requirement of CB1 activity, in driving the formation of inter-/intra-protamine disulphide bridges, and in histone removal in a mechanism involving the hyper-acetylation of histone H4, once again confirming the need of CB1 activity for the production of high-quality spermatozoa [The activity of cannabinoid receptors, CB1 and CB2, in male germ cell development\u2014from gonocyte up to mature spermatozoa\u2014has been reviewed by Barchi et al.; interestingly, new roles in paternal epigenetic trans-generational inheritance and testis cancer are also discussed . Furtherrmatozoa .Moving toward female reproduction, Cecconi and coworkers report the expression of major endocannabinoid-binding receptors at different stages of mouse oocyte maturation, and investigate the effects of specific receptor antagonists, revealing a new possible role for GPR55 and potentially offering new targets for the therapy of female reproductive alterations . The involvement of CB1 in the hypothalamic control of food intake and reproduction has been investigated by Zuccarini et al., through the pharmacological and genetic manipulation of CB1 in zebrafish. The CB1-dependent effect on the guidance, fasciculation and routing of GnRH3 (Gonadotropin Releasing Hormone 3) and AgRP1 (Agouti-related peptide 1) axons has been demonstrated, suggesting the need of CB1 signaling in the correct development of neuroendocrine function related to food intake and reproduction . In this respect, the gut\u2013brainaxis represents a key regulator of the hypothalamic neuronal networks related to food-sensing and appetite. Therefore, the review article by Forte et al. summarizes the emerging role of an \"expanded ECS\", or endocannabinoidome (eCBome), encompassing endocannabinoid-like mediators in the modulation of the communication between microbiota and gut\u2013brainaxis, with consequences on host metabolism and a critical role in obesity onset .ECS may be a therapeutic target for the treatment of disease, and the modulation of endocannabinoid tone by the fatty acid hydrolyzing enzyme (FAAH) is a key step in ECS signaling. In this respect, the research article by Giacovazzo et al. compares different administration routes to in vivo inhibit FAAH activity in mouse brains. Interestingly, the authors demonstrate the efficacy of intranasal FAAH inhibition, and suggest this delivery model as a suitable alternative to enhance the tone of endocannabinoids within the brain, for the treatment of neurodegenerative disorders and the improvement patients\u2019 compliance .The functional participation of the ECS in neurodegenerative disorders has been analyzed by Bhatia-Dey and Heinbockel, who focused a review article on the endocannabinoid-mediated neuromodulation in the olphactory bulb, a brain region in which neurogenesis continues throughout the life span, suggesting possible therapeutic interventions in decelerating neurodegenerative pathology . -/-Cnr2 mice, suggesting different signaling mechanisms for basal and damage-induced neurogenesis [In spite of the known involvement of CB2 in the neuorogenesis in both neuroinflammatory conditions and in response to pathophysiological stimuli, Mensching et al. demonstrate that stable adult neurogenesis occurs in the hyppocampus of ogenesis .The Interplay between the ECS, epilepsy and cannabinoids has been reviewed by the group of Mitchell. The deep involvement of ECS in neuroinflammation points out the possible use of cannabinoids-based treatments to modulate ECS, as alternatives to more conventional pharmacological therapies, but also underlines the need for further research in the field to sustain the use of therapeutic cannabis .The review article by Argenziano et al. analyzes the role of ECS in the pathogenesis and onset of pediatric inflammatory and immune diseases, like immune thrombocytopenia, juvenile idiopathic arthritis, inflammatory bowel and celiac disease, obesity and fatty liver disease, neuroinflammatory diseases, and type 1 diabetes mellitus .Cannabis sativa, of particular interest for clinical application. In this respect, the review article by Kis et al. summarizes the anticancer effects of CBD in vitro and in vivo, and its main pharmacological and toxicological aspects [As reviewed by Laezza et al., ECS can exert anticancer activity, modulating several signaling pathways involved in cell proliferation, differentiation, migration and angiogenesis , but the aspects . Taken together, this Special Issue provides a very updated overview on ECS activity and modulation in physiological and pathological conditions, through the presentation and integration of data from experimental animal models and clinical observation. The deep involvement of ECS in the control of biological functions is far from fully clarified, but all the submitted manuscripts expand the knowledge in the field of ECS involvement in both health and disease, with a particular attention to the possible therapeutic exploitation. Lastly, the Editor hopes this Special Issue of the International Journal of Molecular Sciences may be useful for basic and clinical scientists working in the field, and deeply thanks all the authors who contributed with excellent works, and the reviewers engaged for the peer-review process."}
+{"text": "Military service and exposure to war may influence the development of depression, leading to disparities in the condition among veterans and non-veterans. This study included 10,512 older men from the 1996 to 2014 waves of the Health and Retirement Study (HRS). We estimated Center for Epidemiology Depression (CESD) score trajectories among veterans and non-veterans and veterans of different war cohorts in growth curve models, controlling for early, mid, and late life characteristics. CESD score trajectories were lower among veterans and war veterans than non-veterans and non-war veterans, respectively. The highest levels of depression were among war veterans who served in more than one war. Veterans demonstrated lower levels of depression than non-veterans, calling into question the health advantage of veterans and selection mechanisms into the military and out of HRS. Multiple war veterans showed the highest levels of depression, representing the greatest mental health threat to veterans in the study. Part of a symposium sponsored by the Aging Veterans: Effects of Military Service across the Life Course Interest Group."}
+{"text": "The issue of coronavirus disease 2019 (COVID-19), caused by severe acute respiratory syndrome coronavirus-2 (SARS-CoV-2), has created enormous threat to global health. In an effort to contain the spread of COVID-19, a huge amount of disinfectants and antibiotics have been utilized on public health. Accordingly, the concentration of disinfectants and antibiotics is increasing rapidly in various environments, including wastewater, surface waters, soils and sediments. The aims of this study were to analyze the potential ecological environment impacts of disinfectants and antibiotics by summarizing their utilization, environmental occurrence, distribution and toxicity. The paper highlights the promoting effects of disinfectants and antibiotics on antibiotic resistance genes (ARGs) and even antibiotic resistant bacteria (ARB). The scientific evidences indicate that the high concentration and high dose of disinfectants and antibiotics promote the evolution toward antimicrobial resistance through horizontal gene transformation and vertical gene transformation, which threaten human health. Further concerns should be focused more on the enrichment, bioaccumulation and biomagnification of disinfectants, antibiotics, antibiotic resistance genes (ARGs) and even antibiotic resistant bacteria (ARB) in human bodies. As the coronavirus disease 2019 (COVID-19) epidemic worsens, various disinfectants and pharmaceuticals have been actively used to control the spread of the virus. Disinfectants, such as alcohols, chlorine, formaldehyde, glutaraldehyde, ortho-phthalaldehyde, hydrogen peroxide, iodophors, peracetic acid, phenolics, and quaternary ammonium compounds were recommended to use alone or in combinations on public health by authorities. The Chinese Center for Disease Control and Prevention (China CDC), United States Environmental Protection Agency (US EPA) and World Health Organization (WHO) successively released the guidance for disinfectant utilization to against the virus, while the lack of necessary training program for public could raise the adverse effects of disinfectant on human health . TherefoIn the times of COVID-19 panic, disinfectants and antibiotics were overused for the coronavirus disease control and treatment, since the effective treatment measures and medications are not yet determined. Until 2020 March, China has dispensed at least 2000 tons of disinfectants in the city of Wuhan alone . Bacteria, only carrying antibiotic resistance genes (ARGs), can survive and persist in these contaminated environments. A disinfection by-products study reported that disinfection by-products can select strain with high-level resistance via broadly conserved cellular functions and pathways at the minimal inhibitory concentrations .In fact, ARGs and antibiotic resistant bacteria (ARB) can be target selected in disinfectants and antibiotics contaminated environments.. The ARGBesides HGT, ARGs and ARB can also be transferred from environments or microorganisms to higher trophic levels through drinking water, food and respiration . Human hCOVID-19 has threatened the global health remarkably. High concentration and high dose of disinfectants and antibiotics used during the COVID-19 pandemic, which entered into environments, are definitely accelerating the target selection of AMR in environments . HGT amo"}
+{"text": "Jiangsu was one of the first four pilot provinces to engage in comprehensive health care reform in China, which has been on-going for the past 5\u2009years. This study aims to evaluate the equity, efficiency and productivity of health care resource allocation in Jiangsu Province using the most recent data, analyse the causes of deficiencies, and discuss measures to solve these problems.Data were extracted from the Jiangsu Health/Family Planning Statistical Yearbook (2015\u20132019) and Jiangsu Statistical Yearbook (2015\u20132019). The Gini coefficient (G), Theil index (T) and health resource density index (HRDI) were chosen to study the fairness of health resource allocation in Jiangsu Province. Data envelopment analysis (DEA) and the Malmquist productivity index (MPI) were used to analyse the efficiency and productivity of this allocation.From 2014 to 2018, the total amount of health resources in Jiangsu Province increased. The G of primary resource allocation by population remained below 0.15, and that by geographical area was between 0.14 and 0.28; additionally, the G of health financial resources was below 0.26, and that by geographical area was above 0.39. T was consistent with the results for G and Lorenz curves. The HRDI shows that the allocated amounts of health care resources were the highest in southern Jiangsu, except for the number of health institutions. The average value of TE was above 0.93, and the DEA results were invalid for only two cities. From 2014 to 2018, the mean TFPC in Jiangsu was less than 1, and the values exceeded 1 for only five cities.The equity of basic medical resources was better than that of financial resources, and the equity of geographical allocation was better than that of population allocation. The overall efficiency of health care resource allocation was high; however, the total factor productivity of the whole province has declined due to technological regression. Jiangsu Province needs to further optimize the allocation and increase the utilization efficiency of health care resources.The online version contains supplementary material available at 10.1186/s12939-020-01320-2. Health care resources are the basis for the development of health services, and the rationality of their allocation not only affects residents\u2019 health level but also plays an important role in the sustainable development of medical and health services , 2. TherIn recent years, due to economic development, an ageing population, the prevalence of chronic diseases and the improvement in health concepts, higher standards have been established for the allocation of health resources. The equity and efficiency of health resource allocation and health service utilization are attracting increasing attention in China , 7. To eJiangsu was one of the first four pilot provinces to engage in comprehensive health care reform in China. Jiangsu is located in the eastern coastal area of China and has 13 prefecture-level cities, such as Nanjing, Zhenjiang, Suzhou and Huaian . JiangsuJiangsu Province has implemented comprehensive health care reform for the past 5\u2009years, and the year 2020 is also the last year of the Healthy China 2020 strategy . This stData were extracted from the Jiangsu Health/Family Planning Statistical Yearbook (2015\u20132019) and Jiangsu Statistical Yearbook (2015\u20132019), which cover 13 cities in Jiangsu Province. The series of longitudinal data were used to analyse the equity and efficiency trends in Jiangsu from 2014 to 2018.On the basis of the economic development level, geographical position and the Jiangsu Statistical Yearbook, the 13 cities in Jiangsu Province were divided into three groups: the most economically developed southern zone , the moderately developed middle zone and the less economically active northern zone . Health care institutions included hospitals, primary health institutions, professional public health institutions and other health institutions.Considering representation, stability, availability and independence, capital, labour and financial investment are deemed to be important input variables in the delivery of health services. The number of institutions and beds represents the capital, the number of health workers represents labour, and the government financial subsidy and total expenditure represent financial investment. Health workers include physicians, registered nurses, assistant physicians, medical personnel, other technical personnel and health administrative staff. They were chosen as input indicators to measure equity. The annual numbers of outpatient visits, the hospitalization rate and general income represent output indicators.The Gini coefficient is the optimal tool to assess the equity of health resource allocation in terms of demographic and geographical aspects . The GinXi: cumulative percentage of health resources in the ith city of Jiangsu Province after ranking according to the per capita or regional average share of health resources.Yi: cumulative percentage of population or geography in the ith city of Jiangsu Province after ranking according to the per capita or regional average share of health resources.k: total number of cities.G: value of the Gini coefficient.The Theil index is used to analyse the inequity of resource allocation. The advantage of the Theil index is that it can measure the contributions of intra- and inter-regional differences to total inequity . FormulaPi: percentage of population or geography of each city in Jiangsu Province.Ei: percentage of health resources of each city in Jiangsu Province.T: value of the total Theil index.The total Theil index can be decomposed into the intra-Theil index and inter-Theil index . FormulaTintra: value of the intra-Theil index. In this study, it represents the intra-different distribution of health resources in southern, central and northern areas of Jiangsu Province.Tinter: value of the inter-Theil index. In this study, it represents the inter-different allocation of health resources among southern, central and northern areas of Jiangsu Province.Pg: proportion of population or geography of three regions for the overall number of Jiangsu Province.Eg: proportion of health resources of three regions for the overall number of Jiangsu Province.Tg: value of the Theil index of three regions .Tintra and Tinter can be calculated by dividing the total Theil index [The contribution rates of il index .The HRDI displays the influence of population and geographical factors on the agglomeration of health resources while avoiding bias caused by a single population or geographical aspect. Formula is used HRi: health resource quantity of the ith region.Ai: geography of the ith region.Pi: population of the ith region.HRDI: value of the Health Resource Density Index.DEA is a nonparametric method that evaluates the performance of mathematical planning models, including the relative efficiency of decision-making units (DMUs), using multiple input and output indicators , 19. TheIn the BCC model, technical efficiency (TE) can be disassembled into pure technical efficiency (PTE) and scale efficiency (SE). Formula is used TE expresses the production efficiency of DMU, which is based on input resource. PTE reflects the advance in productivity resulting from the efforts of managers and workers and the effective combination of production factors. SE indicates different levels of changes in DMU\u2019s economies of scale . Values Whereas DEA measures relative efficiency for a period of time, TFPC measures dynamic changes in productivity from time t to time t\u2009+\u20091 . TFPC caValues of TFPC, TEC, TC, PTEC and SEC above 1 indicate improvement. The DEA and TFPC were calculated using DEAP V.2.1.From 2014 to 2018, the total amount of primary health resources increased in Jiangsu Province. In a general sense, the primary resources include capital and labour . In termFor financial resources, we counted government financial subsidies and total expenditures. From 2014 to 2018, government financial subsidies continued to grow to 37.3 billion yuan , South K , South Although we use a variety of methods to evaluate the equity and efficiency of health care resource allocation in Jiangsu Province, there are still some limitations to this study. First, although the selection of indicators is commonly used in similar research and indicators for health workers are included, we did not further subdivide these workers into doctors, nurses and other personnel. Second, this study mainly analyses the fairness of health care resource allocation from the perspective of population and geography, without considering the actual health status and health service needs of different regions. Third, due to the limitations of the basic DEA method, there are no bias adjustments for efficiency and productivity scores.In the past 5 years, the total amount of health resources in Jiangsu Province has increased steadily, and the overall equity of health care resource allocation has been good. The equity of basic medical resources was better than that of financial resources, and the equity of geographical allocation was better than that of population allocation. However, there were great differences among regions: health care resources in southern Jiangsu were plentiful, while those in central and northern Jiangsu were relatively lacking. The overall efficiency of health care resource allocation was high, but some cities faced low efficiency. In addition, the total factor productivity of the whole province has declined. Therefore, to ensure the sustainable development of medical services, the government should further optimize the allocation of health resources, comprehensively consider geographical and demographic factors, and strive to narrow the gap in medical resources in different regions. In addition, to increase the utilization efficiency of limited medical resources, technical efficiency needs to be improved by developing the service ability of basic medical institutions, strengthening cooperation among medical institutions at all levels, and improving training and incentive mechanisms for doctors.Additional file 1:Fig. S1.The Lorenz curves of health care resources in Jiangsu Province from 2015 to 2017. A-F show the Lorenz curves of primary resources allocated by geographical area (A-C) and population (D-F). G-L show the Lorenz curves of financial resources allocated by geographical area (G-I) and population (J-L). A, D, G, J are in 2015; B, E, H, K are in 2016; C, F, I, L are in 2017."}
+{"text": "Pearl River Declaration, emanated from the symposium, called for establishing a One Health Cooperation Network in the Southeast Asia\u2013Pacific region with a vision to strengthen regional health security through sharing each other\u2019s knowledge and experience, and making investments in workforce development, scientific innovations such as vaccine research and development, sharing epidemic intelligence, risk identification, risk communication and appropriate response measures against emerging health threats.The Second International Symposium on One Health Research (ISOHR) was held in Guangzhou city, China on 23\u201324 November 2019. A transdisciplinary collaborative approach, One Health (OH), was the central theme of the symposium which brought together more than 260 experts, scholars and emerging researchers from human health, veterinary health, food safety, environmental health and related disciplines and sectors. More than 50 organizations including World Health Organization, Centers for Disease Control (USA), and Queensland Government participated in the symposium. Scholars, experts and emerging researchers, policy-makers and practitioners in their respective fields delivered over 50 presentations at the symposium, highlighting the collective vulnerability to some of the emerging health challenges the region was combating. These included emerging infectious diseases, antimicrobial resistance, climate change, food safety and the growing burden of non-communicable diseases. The Emerging infectious diseases, antimicrobial resistance, climate change, food safety and security, and the growing burden of non-communicable diseases were identified as some of the most pressing challenges to global health security at the Second International Symposium on One Health Research (ISOHR) held in Guangzhou, China on 23\u201324 November 2019. The symposium was jointly organized by Sun Yat-sen University (China), Griffith University , South China Agricultural University (China) and Guangzhou Medical University (China). A transdisciplinary collaborative approach, known as One Health, was identified as a key opportunity to promote human, animal and environmental health within and between countries around the world [The ISOHR brought together more than 260 experts, scholars and emerging researchers from China and around the world in as diverse areas as public health, clinical medicine, veterinary medicine, laboratory science, food safety, environmental health, agricultural science, military medicine, health systems and policies. More than 50 organizations including multiple Chinese Government departments and research institutions, and representatives from World Health Organization, Centers for Disease Control (USA), and Queensland Government participated in the symposium.Over the past two centuries the world has witnessed spectacular innovations and successes in public health and medical science. The most notable among those were the invention of vaccines (1796\u2009AD) and antibiotics 1928), the eradication of small pox (1979) and the introduction of a simple, low-cost oral rehydration therapy for treatment of dehydration caused by diarrhea. Collectively, these innovations have saved tens of millions of lives 8, the er. These aInternational Health Regulations 2005 [The novelty of the virus, the nature and speed of the interspecies and cross-border transmission of COVID-19 prompted World Health Organization to declare it a \u2018Public health emergency of international concern\u2019 , whereasons 2005 .The ISOHR observed with a great concern that over the past five decades, the world has witnessed the emergence of about 40 new diseases including Legionnaires\u2019 disease, HIV/AIDS, hepatitis C, mad-cow disease, SARS, Middle East Respiratory Syndrome (MERS), Nipah and Ebola virus diseases. Twenty of these diseases were found in China alone . Many ofThe ISOHR acknowledged the role of economic globalization in the twenty-first century and the associated growth in tourism and trade. These and other developments have significantly increased the mobility of populations and trade in goods worldwide and increased the risk of infectious disease spread across regions and countries. In some areas this has resulted in a continuing epidemic and pandemic threat. The impact of global climate change, agricultural intensification, rapid economic growth combined with population growth and urbanization, further complicate public health challenges globally and more specifically in LMICs . Today, In the recent past, the region has experienced some of the deadliest epidemics resulting in formidable losses not only to health but also impacting heavily on their economies with substantial sociological and political repercussions . For exaCountries increasingly recognize the value of working collaboratively and sharing knowledge, expertise and resources for the protection of their own country and to address the collective vulnerability in today\u2019s globalized world. This recognition is evidenced by the Australian Government\u2019s regional health security initiative known as \u2018Indo-Pacific Centre for Health Security\u2019 established in 2017 . The iniThe ISOHR noted with concern that the growing antimicrobial resistance (AMR) was a significant threat to the core of modern medicine as it seriously hampers the efficacy and sustainability of an effective public health response to infectious diseases. The complex root of the problem and the process of widespread, systematic misuse of antibiotics in human and animal medicine, and in food production, demands systematic and coordinated action involving multiple sectors, and disciplines beyond health . The unrInfectious diseases and AMR are not the only causes of concern for the global health security. Similarly, the scope of OH is not limited to infectious disease only. The growing burden of chronic disease, the double burden of malnutrition which is defined as the coexistence of overnutrition (overweight and obesity) and undernutrition (stunting and wasting) , climateInfectious disease transmission occurs at the human-animal-environment interface. The magnitude of the impact of disease and its transmission is influenced by many factors including human behavior, and society, the environment, and the culture of the community. Thus, a broad-based, holistic approach, known as One Health (OH), has received prominence in recent years. Countries increasingly recognize the collective vulnerability to emerging health security threats such as epidemics and pandemics and seek to forge joint effort for mutual benefit. One example of such collaboration effort is the Australian Government\u2019s regional health security initiative, the \u2018Indo-Pacific Centre for Health Security\u2019. EstablisLooking through the lens of etiology, infectious diseases are not only caused by bacteria, viruses and parasites. They are also influenced or shaped by social, economic, political, legal and cultural conditions. Thus, the breadth of emerging health issues and the application of OH to address those will go much farther than the traditional health outlook.In line with its fast-paced economic development, China remains focused on combating emerging health threats including emerging infectious diseases such as SARS and the coronavirus disease (COVID-19), and controlling the spread of antimicrobial resistance , 29. HavIn line with this acknowledgement, the Pearl River Declaration Table 11 called The process of initiating such a regional collaboration by Griffith University, a co-convener of the ISOHR, began as early as 2016 with the establishment of the Global Research Consortium on Risk Communication, Emergency Management and Adaptation to Climate Change for Health (REACCH). This was undertaken in partnership with 15 institutions including government departments across the region. REACCH members have contributed to joint research, policy advocacy and capacity-building to improve health systems and address collective vulnerability to emerging health threats.(i.)The One Health Research Network, established in 2016\u2013\u2013a collaboration with One Health networks in China and Indonesia, focusing on diseases that occurs at human-animal-environment interface.(ii.)The country programs network for Bangladesh, China, Indonesia, Mongolia, the Philippines and Vietnam, consisting of many institutional members from these countries guided by a Memorandum of Understanding of each with Griffith University, having been gradually expanded since 2006. These collaborations focus on health system policies and operational capacity building in the region, as well as emerging health challenges including climate change adaptation, disaster risk reduction, zoonotic and vector-borne disease control.The establishment of a cross-disciplinary Research and Policy Advocacy Hub for Global Health Security at Griffith University, Australia in 2019 further supports this overall regional objective. The Hub hosts two broad networks:Among many tangible outcomes achieved through the establishment and function of these networks has been the delivery of over 10 public health leadership programs that have successfully nurtured more than 120 Fellows across the region. Many of these Fellows have gone on to leadership of the COVID-19 pandemic response in their respective countries over recent months .Addressing emerging health challenges is the collective responsibility of nations as they are collectively vulnerable in the globalized world. If health is for all, as it is often heard being said, then all should be working for health. The resounding message of the Pearl River Declaration was the need for greater commitment and collaboration among nations across the mountains and seas under the umbrella of OH for a future healthy global community. As important regional development partners in health in the Indo-Pacific region, countries such as Australia, China, Thailand, Singapore and international bodies such as Asian Development Bank and WHO can play a pivotal role in country-capacity building through sharing knowledge and experience, as well as making investments in workforce development, scientific innovations such as vaccine research and development. These can be better achieved through establishing a regional One Health Cooperation Network."}
+{"text": "Annular epidermolytic ichthyosis is a rare subtype of epidermolytic ichthyosis that is characterized by erythematous, polycyclic, and migratory scaly plaques accompanied by palmoplantar keratoderma. This report presents the case of an 8-year-old girl who developed migratory, erythematous, scaly plaques associated with palmoplantar keratoderma. The initial hypothesis was erythrokeratodermia variabilis et progressiva; however, the finding of epidermolytic hyperkeratosis in histopathological examination led to the diagnosis of annular epidermolytic ichthyosis. Annular epidermolytic ichthyosis (AEI) is a rare phenotypic variant of epidermolytic ichthyosis (EI), also known as congenital bullous ichthyosiform erythroderma, an autosomal dominant disorder characterized by extensive erythroderma and formation of blisters in early life.4An 8-year-old female patient was attended at the pediatric dermatology outpatient clinic of the Hospital Santa Casa of Porto Alegre with a report of diffuse dermatosis that began in the first months of life. Upon examination, the patient presented erythematous, scaly, hyperkeratotic plaques with prominent borders, affecting the mesogastrium, cubital fossae, popliteal fossae, and inguinal and cervical regions, as well as palmoplantar hyperkeratosis and yellowish hyperkeratotic plaques on the scalp and nasal introitus . No assoThe patient denied any symptoms and there was no background of family history of similar cases and consanguinity. After one month, she was reassessed and the appearance of the plaques changed, increasing the extension of the affected areas; however, the polycyclic aspect disappeared B.Skin biopsy in the extensor portion of the forearm showed acanthosis, papillomatosis, and hyperkeratosis with marked epidermolysis in the granular layer .Figure 4AEI was first described in 1992 by Sahn et al.10In the histopathology, the hyperkeratotic lesions of the AEI revealed hyperkeratosis, acanthosis, and a thickened granular layer. Keratinocytes in the spinous layers and superior granulosa of the epidermis demonstrated cytoplasmic vacuolization and prominent keratohyaline granules.5The main differential diagnosis of annular epidermolytic ichthyosis is with erythrokeratodermia variabilis et progressiva (EKVP),Treatment options in the small number of patients reported included topical medications such as retinoids, topical corticosteroids, propylene glycol, calcipotriene, and keratolytic agents, and little response was observed.None declared.Emanuella Stella Mikilita: Approval of final version of the manuscript; conception and planning of the study; drafting and editing of the manuscript.Irina Paipilla Hernandez: Approval of final version of the manuscript; conception and planning of the study; drafting and editing of the manuscript; collection, analysis, and interpretation of data; critical review of the literature.Ana Let\u00edcia Boff: Drafting and editing of the manuscript; collection, analysis, and interpretation of data.Ana Elisa Kiszewski: Approval of final version of the manuscript; conception and planning of the study; drafting and editing of the manuscript; collection, analysis, and interpretation of data; intellectual participation in the propaedeutic and/or therapeutic conduct of the studied cases; critical review of the literature; critical review of the manuscript.None declared."}
+{"text": "This article describes priority areas for research on the impact of the Covid-19 pandemic on older adults that have been identified by the CIHR Institute of Aging (CIHR-IA). The process used by CIHR-IA consists of several iterative phases and thus far has resulted in identification of three key areas for Covid-19 research needs and four cross-cutting thematic areas. The key research priority areas are as follows: response of older adults to disease, vaccination, and therapeutics; mental health and isolation; and supportive care environments. The four cross-cutting themes are equity, diversity, and inclusion (EDI); ethical/moral considerations; evidence-informed practices; and digital health technologies. The priorities outlined in this article will inform CIHR-IA\u2019s responses to Covid-19 research needs. On March 11, 2020, the World Health Organization announced that Covid-19 had reached pandemic status.The mission of the Canadian Institutes of Health Research Institute of Aging (CIHR-IA) is to support research, to promote healthy aging, and to address the causes, prevention, screening, diagnosis, treatment, support systems, and palliation for the complex health challenges that can be present in older individuals.CIHR-IA focuses on the entire trajectory of life while specifically addressing the health challenges of older individuals and is a national leader in addressing health research priorities related to aging. Initiatives led by CIHR-IA not only link and support researchers across the country, but also bring together a broad group of stakeholders, including different levels of government, practitioners, health charities, voluntary health organizations, and older adults themselves. At the start of the Covid-19 crisis, CIHR-IA mobilized quickly to identify research priority areas related to this pandemic and its dramatic effects on older adults. The goal of this article is to describe the approach implemented by CIHR-IA to rapidly understand Covid-19 research needs for older adults in Canada. These priorities will be used to shape future actions of CIHR-IA within the context of Covid-19.The process initiated by CIHR-IA consists of a number of actions and consultations as illustrated in In early February 2020, CIHR launched the Canadian 2019 Novel Coronavirus (Covid-19) Rapid Research Funding Opportunity. A total of 100 grants were funded in this competition for a Government of Canada investment of $55.3 million, with the primary focus on medical countermeasures research and social and policy countermeasures research. At this early stage in the identification and investigation of the health impacts of Covid-19, older adults had not yet been recognized as an especially vulnerable population. Thus, no funded projects focused on Covid-19 consequences on the health, wellness, and welfare of older adults. Given this outcome and the rapidly evolving situation related to Covid-19 and older adults, CIHR-IA mobilized to identify research priorities to respond to the needs of the aging population in preparation for the Institute\u2019s participation in funding opportunities coming forward from CIHR and partners.With review of the available published literature and emerging data, CIHR-IA identified initial areas of research need related to Covid-19\u2019s impact on older adults. This was followed by the initiation of a fast-track process to engage stakeholders and gain insight into the impact and implications of Covid-19 on research in aging in Canada. In April 2020, CIHR-IA sent a survey to the more than 4,000 mailing list subscribers; over 600 responses were received from researchers, trainees, decision-makers, health care administrators, public servants, health care providers, older adults, and caregivers. The survey comprised eight questions designed to obtain both quantitative and qualitative responses. Qualitative responses were analysed using a thematic approach and classified by emerging themes. In early June, CIHR-IA engaged in targeted consultations with key stakeholders, including the Institute of Aging Advisory Board members and the directors of the 35 Canadian Research Centres on Aging. Information from these consultations was collated with data obtained from the survey, resulting in the identification of several key research priorities.The CIHR-IA priority identification process resulted in three key areas and four cross-cutting themes for research on the impact of Covid-19 on older adults and aging, as illustrated in Aging is a multifaceted process involving numerous cellular and molecular mechanisms in different organ systems. This can include functional and structural alterations in the immune system that can manifest as a decreased ability to fight infection and constitutive low-grade inflammation (inflammaging) homes.Equity, diversity, and inclusion (EDI)CIHR has implemented a range of strategies and solutions to foster equity, diversity, and inclusion in the research ecosystem.Ethical/moral dilemmas around end-of-life care in pandemic situations or emergenciesEthical and moral considerations in research on older adults are critical within the Covid-19 crisis. Research related to illness, resource rationing, palliative care, and isolation are of critical importance.Trials informing best practices for care of older adults with covid-19 and translation and implementation of knowledge for best practices in emergency preparednessCIHR-IA supports the inclusion of older adults in trials that inform best practices that involve Covid-19 care. Historically, older adults have been omitted from trials that will impact their own care.Digital health technologies supporting health services and care delivery, including drug discovery and vaccine production, and monitoring and social interventionsCIHR-IA is a co-lead of the CIHR eHealth Innovations initiative. This initiative supports exceptional national and international digital health research to develop solutions to maintain and improve the lives of older adults. Research that brings together a diversity of stakeholders will enable enhanced collaboration through the entire health research continuum from basic research to public health.Four important cross-cutting themes are also identified that intersect with the aforementioned three key research areas.Soon after the start of the Covid-19 pandemic, it became apparent that older adults were the most at-risk group to develop complex symptoms and had the greatest risk of mortality. To advance our mandate to improve the health and lives of older adults, CIHR-IA reacted rapidly, including by consulting stakeholders and experts, to identify priority research needs related to older adults and Covid-19. The key research areas laid out in this article, ranging from the response of older adults to disease, vaccination, therapeutics, and clinical trials, to mental health and supportive care environments, will continue to inform the responses made by CIHR-IA over the longer term.In parallel with the consultation process and identification of priority research needs, CIHR-IA rapidly mobilized to partner on two important CIHR funding opportunities; Covid-19 May 2020 Rapid Research Funding Opportunity and the Covid-19 and Mental Health (CMH) Initiative, as well as a funding opportunity initiated by the Canadian Frailty Network (CFN) to fund research projects focused on the interaction between frailty and Covid-19 in older adults. Research carried out in these three programs has the potential to begin to address the priority needs in each of the key areas identified. CIHR-IA will continue to seek opportunities to develop and partner on research programs that will address the needs of older adults in this area.The four cross-cutting themes identified through the consultation process pinpoint crucial elements to be included in research on the impact of Covid-19 on older adults. As with all health research, considerations related to equity, diversity, and inclusion of under-represented populations must be integrated into the research plan and, in particular, older adults must be engaged meaningfully in all aspects of the research. With regard to the specific situation of older adults during the Covid-19 pandemic, considerations related to mental health issues and ethical/moral dilemmas around end-of-life care in a pandemic or emergency situation should be carefully integrated into the research. This is an opportunity to rethink the status and role of older adults in our society and to specifically address the impact and influence of ageism in decision-making and the delivery of care. Research leading to public policies that reduce social exclusion of seniors and fight ageism and stigma associated with end of life, frailty, and vulnerability, is needed now more than ever. The inclusion of older adults in trials to inform best practices for Covid-19 care is of the utmost importance. At this time of evolving tools and techniques, digital health research should be harnessed to bring solutions to maintain and improve the lives of older adults.CIHR-IA seeks to ensure that research needs on aging in Canada are met and so is committed to fostering research programs to find approaches to support the health and wellness of older adults during the Covid-19 pandemic and in the post-pandemic recovery period."}
+{"text": "The burden of sickle cell disease (SCD) is greatest among African nations. Effective scalability of evidence-based interventions screening) is urgently needed particularly in these settings for disease management. However, Africa is constrained by limited resources and the lack of capacity to conduct implementation science research for proper understanding of context, and assessment of barriers and facilitators to the uptake and scalability of evidence-based interventions (EBI) for SCD management.We outline implementation science approaches to embed EBI for SCD within the African context and highlight key implementation research programs for SCD management. Building implementation research capacity will meet the major need of developing effective life-long and accessible locally-tailored interventions for patients with SCD in Africa.This commentary communicates the importance of the application of implementation science methodology to scale-up evidence-based interventions for the management of SCD in order to reduce pain, prevent other morbidities and premature death experienced by people with SCD in Africa, and improve their overall quality of life. These studies were conducted exclusively among pediatric and adults populations in clinical settings in Nigeria (n=2), and Jamaica (n=1). Findings suggest that adoption is low, as observed through reported provider practices and patient adherence, in part shaped by misinformation and fear of side effects among patients, provider beliefs regarding affordability and organizational challenges with procuring the medicine [Effective scalability of health interventions is urgently needed particularly in low-and middle- income countries (LMICs), considering the constraints these countries bear, and the lack of capacity to conduct implementation science research. For Africa, sickle cell disease (SCD), the inherited blood disease characterized by anemia, severe pain and other vasoocclusive complications, and early mortality, has significant financial, social, and psychosocial impacts and burdens individuals, families, and health systems. Currently it is projected that over 300,000 individuals are born annually with SCD in Africa , 2. Compmedicine . This coacceptability, adoption, appropriateness, costs, feasibility, fidelity, penetration, and sustainability [PARIHS , etc.) [Implementation science, defined as the scientific study of methods to promote the systematic uptake of research findings and other evidence-based practice into routine practice guided bnability are not ), etc.) , 14 and ), etc.) , 16, to ), etc.) , 18, andWhat is currently lacking within Africa is a comprehensive multicomponent implementation strategy that explores for example, the reach, uptake, and long-term sustainability of EBIs for SCD. This strategy, would ideally incorporate patient /provider/ community/ policy engagement for the EBIs needed to manage SCD exist. The American Society of Hematology Sickle Cell Disease Guidelines provide SCD management recommendations including broad pain management approaches, pharmacological and nonpharmacological interventions and analgesic delivery blood trThis commentary highlights the need for EBIs for SCD management across Africa. It also outlines key implementation research programs that should employ implementation science strategies and capacity building activities for SCD management. We note the success of EBIs in high-income countries that have reduced childhood SCD-related deaths but yet resource-constrained settings, including Africa lack access to EBIs. We acknowledge the critical importance of investigators implementing clinical trials in Africa for SCD management to plan for sustainability at the onset and throughout the implementation process, considering the tremendous amount of resources required to implement these trials. We, therefore advocate for a comprehensive multicomponent implementation strategy with strong patient and community stakeholder engagement, and the need to build capacity at the provider and health systems level to conduct implementation science research for proper understanding of context, and assessment of barriers and facilitators to the uptake, sustainability, and scalability of EBIs for SCD management within the African context."}
+{"text": "Although significant progress has been made in understanding mental health issues, racial/ethnic minorities are disadvantaged in terms of knowledge, attitude/stigma toward mental illness, and access to treatment. Older Koreans and Korean Americans are high-risk groups with great prevalence of stigma and limited access to mental services. The two groups share similarities as well as differences. For example, Older Korean Americans, a first-generation immigrant group, tend to share traditional values and beliefs with older Koreans. However, differences in social and cultural contexts, availability of social networks and resources, and access to health care systems present unique challenges and strategies. The purpose of this symposium is to enhance the understanding of critical issues in mental health among older Koreans and Korean Americans and identify challenges and strategies to promote mental health and well-being. Five studies conducted in Korea and the US will explore a variety of personal, social, and cultural factors related with mental health, based on quantitative and qualitative approaches. The diverse topics cover the mediating role of self-esteem in the relationship of stigma to emotional well-being, the effect of stress and coping on well-being, loneliness and negative family interactions, the relationship of life stressors and social capital on mental distress among older Korean Americans compared with other older Asian Americans, and community leaders\u2019 attitude toward depression. The issues of vulnerabilities and resources will be discussed from the cultural perspectives as well as implications for future research and practice."}
+{"text": "P. purpureum because of higher adherence between the particles and mucous covering of the algae. Silica NPs caused significant inhibition of microalgae growth-rate predominantly produced by mechanical influence.Nanoparticles (NPs) have various applications in medicine, cosmetics, optics, catalysis, environmental purification, and other areas nowadays. With an increasing annual production of NPs, the risks of their harmful influence to the environment and human health is rising. Currently, our knowledge about the mechanisms of interaction between NPs and living organisms is limited. Additionally, poor understanding of how physical and chemical characteristic and different conditions influence the toxicity of NPs restrict our attempts to develop the standards and regulations which might allow us to maintain safe living conditions. The marine species and their habitat environment are under continuous stress due to anthropogenic activities which result in the appearance of NPs in the aquatic environment. Our study aimed to evaluate and compare biochemical effects caused by the influence of different types of carbon nanotubes, carbon nanofibers, and silica nanotubes on four marine microalgae species. We evaluated the changes in growth-rate, esterase activity, membrane polarization, and size changes of microalgae cells using flow cytometry method. Our results demonstrated that toxic effects caused by the carbon nanotubes strongly correlated with the content of heavy metal impurities in the NPs. More hydrophobic carbon NPs with less ordered structure had a higher impact on the red microalgae The growing industry of nanotechnology inevitably results in an increase of risks associated with the nanomaterials (NMs) and nanoparticles (NPs) to affect living organisms including humans. Carbon- and silica-based NPs could be highlighted among the variety of engineered NPs ,2. Due tThe consumer products, large-scale manufacturers producing NMs, synthesizing, and research laboratories could be highlighted among the main sources leading to the release of NPs in the environment ,27. DespThe difficulty of risk assessment in nanotoxicology is complicated by the variety of factors that could significantly change the properties and, therefore, the toxicity of NPs. Moreover, much uncertainty still exists about the relation between different parameters such as size, form, surface area, zeta potential of NPs, protein corona formation, and transformation of NPs inside of organisms and in the environment or combinations of these parameters and toxic properties of NPs ,33,34,35Attheya ussuriensis (Bacillariophyceae), Chaetoceros muelleri (Bacillariophyceae), Heterosigma akashiwo (Raphidophyceae), and Porphyridium purpureum (Rhodophyceae).The aim of this study was to evaluate and compare the toxic level and biochemical effects caused by the influence of different types of carbon nanotubes, carbon nanofibers, and silica nanotubes on four marine microalgae species, namely In this research, we used two types of multiwalled carbon nanotubes , two typHeterosigma akashiwo [Carbon nanotubes and nanofibers were synthesized and characterized in the Boreskov Institute of Catalysis . The strakashiwo .Silicon nanotubes were kindly provided by the Department of Chemistry, Inha University Republic of Korea . The samCharacteristics of NPs used in this research are represented in Marine biobank of the National Scientific Center of Marine Biology, Far Eastern Branch of the Russian Academy of Sciences (NSCMB FEB RAS). The toxicity bioassay of NPs was carried out on four marine microalgae: two types of diatom species Attheya ussuriensis [Chaetoceros muelleri [Heterosigma akashiwo [Porphyridium purpureum [Microalgal cultures were provided by The Resource Collection uriensis and Chaemuelleri , a raphiakashiwo , and a rurpureum . Culturiurpureum with minurpureum ,59.The microalgae species were selected based on its abundance among the microalgae of the Sea of Japan , and itsThe samples of NPs were added to filtered seawater to obtain the working suspensions with a concentration of 1000 mg/L. Before each series of bioassays, the working suspensions of NPs were sonicated with ultrasound homogenizer Bandelin Sonopuls GM 3100 using maximal intensity for 30 min.The exposition of microalgae cells to the suspensions of NPs was carried out in 24-well plates. Each well was filled with 2 mL of microalgae cell aliquot and the corresponding volume of the working suspension to obtain the final concentrations 1, 10, and 100 mg/L. The filtered seawater without NPs was added to the control group. The exposure of each used concentration and control group was performed in four biological replicates.6) [Microalgae cell counting and registration of morphological and biochemical changes during the experiment were carried out with flow cytometer CytoFLEX with the software package CytExpert v.2.0. The changes of microalgae cells after exposure to NPs were evaluated using specific fluorescent dyes. Microalgae growth-rate inhibition was determined by staining with propidium iodide (PI) according to the standard bioassay protocol . Esteras6) ,68. To dPrior to the assessment of growth-inhibition, esterase activity, and membrane potential of each microalgae species, we made a series of preliminary measurements to determine the optimal concentration of fluorescent dyes and the optimal duration of staining as described in our previous report . The reg50) are one of the most common values used for evaluation cytotoxic effects in macroalgae bioassay [Growth-rate inhibition and changes in the size of microalgae cells should be estimated as a benchmark of direct cytotoxic effects or as an indicator of mortality. The 96\u2009h and 7 days half maximal effective concentration .p \u2264 0.05 was considered statistically significant.Statistical analyses were performed using the software package GraphPad Prism 7.04 . The one-way ANOVA test was used for analysis. A value of 50 concentrations of microalgae growth-rate, FDA fluorescence intensity (esterase activity), and DiOC6 fluorescence intensity compared to control. The calculated mean EC50 concentrations and 95% confidence limits are given in For all the samples of NPs, we calculated ECFor visualization of calculated data and analC. muelleri and P. purpureum.Silica nanotubes SNT-1 and SNT-2 demonstrated the most pronounced influence on the microalgae growth rate. The level of toxicity increased for all microalgae species after seven days of exposure except for the samples SNT-1 and SNT-2 after 96 h of the treatment affected growth-rate only for A. ussuriensis, C. muelleri, and H. akashiwo both after 96 h (acute toxicity) and seven days (chronic toxicity) of the treatment. Carbon nanofibers CNF-1 and CNF-2 also did not reveal any significant influence on the growth rate of these three species in acute toxicity assessment but chronic toxicity and growth-rate inhibition was detected for A. ussuriensis and H. akashiwo. Moreover, all the carbon NPs caused significant inhibition of esterase activity and depolarization of membranes for A. ussuriensis, H. akashiwo, and C. muelleri. However, the nanofiber sample CNF-2 did not affect the esterase activity of diatomic algae A. ussuriensis and stimulated esterase activity of diatomic algae C. muelleri.Carbon nanotubes CNT-1 and CNT-2 had almost no influence on the growth rate of P. purpureum significantly differed from three other microalgae species. P. purpureum was the only species responded by growth-rate inhibition to the influence of carbon NPs. At the same time, the red algae had the lowest changes in esterase activity and membrane potential.The toxicological profile of the red algae The data of flow cytometry analysis indicated the changes in the size of microalgae cells after the treatment of NPs as demonstrated in A. ussuriensis after the treatment with the samples CNT-1 and CNT-2 at the concentration of 100 mg/L and after the treatment with silica nanotubes at the concentrations of 10 and 100 mg/L on esterase activity and membrane potential, we can conclude that the main mechanism of toxic action of these samples on the red microalgae was a physical damage caused by adhesion of clusters of NPs with extracellular mucopolysaccharides of P. purpureum [The current statement correlated with the results of the structural and surface analysis of the samples of carbon NPs . It was urpureum .A. ussuriensis, H. akashiwo, and C. muelleri was probably caused by the lower mechanical interaction between microalgae cells and the NPs. However, observed esterase activity inhibition, membrane depolarization, and size changes of microalgae cells might be produced by the influence of metal impurities containing in carbon NPs silica NPs did not affect the esterase activity and membrane potential of the cells of all four microalgae species even at higher concentrations but caused significant inhibition of growth-rate, which indicated predominance of mechanical damage as a mechanism of toxicity for used samples of silica nanotubes.In this study, the aim was to assess the level of toxicity and the mechanisms of toxic action of carbon nanotubes, carbon nanofibers, and silica nanotubes using four microalgae species as the objects of aquatic toxicity bioassay. The results of this investigation show that (1) carbon nanotubes samples CNT-1 and CNT-2 had non-significant toxic effect on the growth rate of all four microalgae species but caused a high inhibition of esterase activity and depolarization of cell membranes, which was most probably caused by heavy metal impurities in NPs; (2) more hydrophobic carbon NPs with less ordered structure had a higher impact on the red microalgae The findings of this research provide insights for the formation of the principles of safe design, production, and utilization of NPs . We beli"}
+{"text": "Post-workshop self-assessment (completed by 21 participants) noted significant median gains in knowledge domains related to NGS targeted sequencing, bioinformatics for genome assembly, and sequence quality assessment. The participants also reported that the information on study design, sample preparation, sequencing quality control, data quality assessment, reporting, and basic and advanced bioinformatics analysis were the most useful information presented in the training. While longer-term evaluations are planned, the training resulted in significant short-term improvement of a laboratory\u2019s self-reported wet lab and bioinformatics capabilities. This framework can be used for future DoD laboratory development in the area of NGS and BI for infectious disease surveillance, ultimately enhancing this global DoD capability.Epidemics of emerging and re-emerging infectious diseases are a danger to civilian and military populations worldwide. Health security and mitigation of infectious disease threats is a priority of the United States Government and the Department of Defense (DoD). Next generation sequencing (NGS) and Bioinformatics (BI) enhances traditional biosurveillance by providing additional data to understand transmission, identify resistance and virulence factors, make predictions, and update risk assessments. As more and more laboratories adopt NGS and BI technologies they encounter challenges in building local capacity. In addition to choosing the right sequencing platform and approach, considerations must also be made for the complexity of bioinformatics analyses, data storage, as well as personnel and computational requirements. To address these needs, a comprehensive training program was developed covering wet lab and bioinformatics approaches to NGS. The program is meant to be modular and adaptive to meet both common and individualized needs of medical research and public health laboratories across the DoD. The training program was first deployed internationally to the Basic Science Laboratory of the US Army Medical Research Directorate-Africa in Kisumu, Kenya, which is an overseas Lab of the Walter Reed Army Institute of Research (WRAIR). A week-long workshop with intensive focus on targeted sequencing and the bioinformatics of genome assembly ( Development of Next-Generation Sequencing (NGS), or High-Throughput Sequencing (HTS), has revolutionized life sciences, dramatically increasing the variety of questions that can be answered using genomic sequence data. With this continuously evolving and growing field, the need for adequate computational hardware resources, software, and expertise to analyze large and complex data is also increasing. The field of bioinformatics has thus experienced substantial growth and advancement in recent years, and the requirement for highly skilled and specialized personnel has surged.Staphylococcus aureus (MRSA); pathogens that have the ability to negatively impact United States force readiness and mission goals (Within the Department of Defense (DoD), NGS and bioinformatics are routinely used to answer many scientific and research questions that ultimately aid in protection of the armed forces, as well as the general population . Infection goals , 2019. Ion goals . The DoDon goals . Unsurpron goals . Howeveron goals . TherefoIn 2017, GEIS created a Consortium to address the increasing needs and challenges associated with NGS and bioinformatics at DoD medical research and public health laboratories. The vision of the Consortium is to rapidly detect and characterize known, emerging, and novel infectious disease agents through establishment of a harmonized DoD laboratory NGS and bioinformatics capability to inform force health protection decision making. The Consortium today represents a network of DoD laboratories that use NGS and bioinformatics for infectious disease surveillance. A baseline assessment and initial training effort was led by GEIS and three DoD core sequencing and bioinformatics laboratories: WRAIR-VDB , NMRC-BDRD , and USAMRIID-CGS . The Consortium performed an assessment of the GEIS DoD laboratory partners with access to Illumina MiSeq or other NGS instrument(s), in order to evaluate existing laboratory capabilities in NGS and bioinformatics, and to map gaps and needs in laboratory utilization of these tools to meet their mission goals of infectious disease surveillance. Limited access to experienced and knowledgeable NGS and bioinformatics personnel was one of the main gaps, making basic and advanced bioinformatics analyses a common challenge across the network. Another challenge was the restrictive and limited informatics infrastructure, especially in some of the participating laboratories located in low-and-middle income countries (LMICs). However, the challenge of finding personnel with sufficient training in NGS and bioinformatics was not only observed in laboratories located in LMICs, it was also apparent in domestic laboratories, thus highlighting the need to develop a structured NGS and bioinformatics training for the specific needs of DoD biosurveillance programs. Such training would have to be standardized across the Consortium network, as well as made agile enough to meet different levels of needs and computational resources of the participating DoD laboratories. Using the baseline information from the assessment, desired sequencing capabilities for DoD research and public health laboratories were divided into three tiers . Here weSamples used for the NGS hands-on training included dengue virus 2 (DENV-2) and chikungunya (CHIKV) and were provided on-site. Controls for library preparation, MiSeq sequencing and TapeStation for both DENV-2 and CHIKV were validated and prepared at VDB-WRAIR in the months prior to the planned NGS&BI training in Kenya. Prior to shipment of controls to Kenya, the control concentrations were measured and documented and the information was sent to MRD-A. Coordination of the reagent and control shipment from VDB-WRAIR to Kisumu, Kenya started a month prior to the training. Four Linux laptops and two Linux servers were prepared for hands-on bioinformatics training. A list of software was prepared by the Consortium and sent out to MRD-A Lab for installation onto the training computers. The software list included ngs_mapper, IGV, Geneious, MEGA7, EDGE (servers only) . Three wLectures and theory included: History of sequencing, overview of NGS, library preparation, quantification, validation and pooling. In detail: (i) List of library preparation kits used by core DoD for different projects and specimens were highlighted; (ii) Several topics on types of kits for viruses, bacteria and parasite work were heavily discussed throughout the lecture; (iii) Specific library preparation kits were highlighted including TruSeq, QIASeq Fx, Kappa, NexteraXT, RNA Access and DNAFlex; (iv) AmpureXP Beads clean up after PCR reactions and library preparation was emphasized as preferred method; (v) Different library validations, including qPCR, Qubit and TapeStation were highlighted as essentials for quality control (QC); (vi) Library pooling based on TapeStation and Qubit were introduced; (vii) Two exercises of how to calculate amount of each library for pooling were conducted. Preparations were made for the upcoming bioinformatics training.Hands-on training for NGS wet lab was performed with 24 participants. The participants were separated into two groups based on their NGS background and interests for hands-on performance. Group 1 prepared the NexteraXT library from the amplicons and assessed amplicons using both Qubit and TapeStation prior to NexteraXT library preparation. The NexteraXT libraries were validated using both Qubit and TapeStation. Group 2 validated the pooling based on the controls from the shipment and prepared sample sheets, the MiSeq instrument and PhiX controls. The libraries were loaded onto the Miseq. Bioinformatics training dataset was prepared on each computer. Server performance was tested for running the pipelines and tools needed for the training, and the training dataset analyses were executed to test functionality prior to the hands-on bioinformatics training.Hands-on wet lab activities from Day 2 were summarized and any questions and concerns were addressed. Lectures on laboratory project experimental design (to include bioinformatics), bioinformatics data cleaning and pre-processing, and genome assembly through reference mapping were performed, as well as exercises in experimental design and genome consensus calling. For hands-on bioinformatics training, the 24 participants were divided into six different groups, each group utilizing one training computer or server. Ngs_mapper was used as the example of a reference mapping pipeline. The first training was performed on the DENV fastq dataset, including training on usage of different stages of the pipeline, setting a desired reference genome and running the pipeline. After ngs-mapper jobs were completed, interpretation of the output, how to utilize data quality scores and depth of coverage, how to assess the performance of the sequencing and the genome assembly were performed. Manual QC and genome curation were performed. The second training dataset consisted of CHIKV fastqs and was used for training on multiple reference usage and reference selection, in addition to repeating the above steps for dataset one.de novo genome assembly, assembly of bacterial genomes, and troubleshooting and maintenance of the MiSeq platform.Bioinformatics hands-on training was continued by evaluation of the CHIKV runs for reference genome selection. Based on the best reference choice, the reference mapping run was repeated. The repetition was incorporated on purpose to ensure better knowledge retention. Following reference mapping, the output of CHIKV assembly was evaluated and its genome curated. The data that were used for this training were purposefully chosen to be of lower quality, so that different challenges of genome assembly curation were highlighted, as well as the importance of QC and what consequences a lack of QC might result in. The last reference mapping analysis was performed on CHIKV data but now the participants learned how to change different pipeline thresholds, picking their own requirements for minimum base quality, consensus type output and the like. In addition, lectures were conducted covering theory of A summary of wet lab activities and library pooling to obtain optimal cluster density was presented. An exercise aimed at the evaluation of several MiSeq runs was performed. Management of sequencing libraries and data, and prevention of chimeric sequence data generation and mislabeling were discussed. Bioinformatics training on the influenza dataset was performed separately since influenza virus has a segmented genome and bioinformatically, full genome assembly is slightly more complicated. How to recognize presence of influenza reassortment was covered. A workshop survey was distributed and the A comprehensive training curriculum was constructed that consisted of standardized wet lab and bioinformatics theory modules as well Based on the results of the initial laboratory assessment, training was recommended for the GEIS partner US Army Medical Research Directorate \u2013 Africa (MRD-A) laboratories in Kenya. For MRD-A\u2019s initial needs, which mainly cover sequencing and analyses of known pathogen outbreaks and epidemics in the region, a 1 week on-site workshop was constructed where the wet lab targeted sequencing was covered in both lectures (specific assembled modules) and hands-on practice, followed by bioinformatics theory (specific assembled modules) and hands-on practice of pathogen genome assembly and curation . This apWe undertook a rapid evaluation of participants\u2019 self-reported baseline and post-workshop knowledge across ten skill domains related to genomic sequencing . We alsoThere were substantial gains in self-reported knowledge across all skill domains , with thThe participants were also asked in which topics they felt they would like more training and experience and how The rapid growth and utility of NGS and bioinformatics for research and biosurveillance has resulted in the emergence of DoD requirements for implementation of sequencing and computational technologies, as well as access to highly trained and knowledgeable personnel in the fields of NGS and bioinformatics. Specifically the latter point remains one of the major challenges across the DoD, and even though bioinformatics programs have more recently gained larger momentum in academia, lack of workforce with early-on and/or specialized bioinformatics training is still palpable in the government settings, particularly in government labs outside the continental United States. Therefore, NGS and bioinformatics training programs for infectious disease surveillance have recently been developed by many government agencies or non-governmental organizations. Within the United States Government, Canada, and the European Union, there is movement towards training and coordinated promotion of standardized quality assurance and quality control practices for pathogen genome sequencing using NGS technologies . Some reOur experience in deploying a comprehensive yet customizable classroom and hands-on training in NGS and bioinformatics in Kenya was overall successful (see caveats of assessment below) and is a potential model for future training programs in similar environments. This training program consisted of foundational material in sequencing theory and experimental design which formed a basis for more applied modules in targeted sequencing and metagenomics. Additionally, hands-on NGS wet lab and bioinformatics modules were further tailored to meet the needs of the laboratory participants using information obtained from a baseline landscape assessment. This training shows that a highly modular and deployable set of NGS and bioinformatics workshop components can be used within the DoD network of medical research and public health laboratories to improve sequencing wet lab capability, and analysis and interpretation of pathogen genomic data gathered using NGS and bioinformatics.Embedded within this training workshop was a post-self-assessment questionnaire to gauge immediate improvements in knowledge gained from the workshop materials. It is important to note that this questionnaire has several limitations including a small sample size, the immediate nature of the assessment tool which does not allow one to measure long-term benefits, and the fact that the assessment was only delivered through written evaluation and self-report. Further, more objective measurements of knowledge and skill gains after workshops may not directly translate into effective implementation and retention of these skills. The latter requires medium and longer term evaluations in an implementation science framework . HoweverFollowing this workshop a mechanism to facilitate reach back support with embedded long-term training and mentorship has been instituted to overcome challenges associated with long-term sustainability of a sequencing capability at MRD-A. Included in this 5-year NGS and bioinformatics implementation plan for MRD-A are: (i) continuous contact and support by the core DoD sequencing laboratories, (ii) repetition of training with focus on real data and troubleshooting, (iii) additional hands-on training in other wet lab and bioinformatics approaches to achieve capability diversification, (iv) development of local computational infrastructure for bioinformatics, and (v) regular assessments of wet lab and bioinformatics knowledge retention. Laboratory-level assessments of proficiency and skill retention 1\u20132 years post-training have included external review of raw sequence data and consensus genomes generated from GEIS funded surveillance projects. We also anticipate deploying periodic blinded panel of samples or data files for follow-up assessments of knowledge retention and capability development. At the end of this period, the goal is to achieve a high quality diversified portfolio of NGS and bioinformatics capabilities at the site, which then may serve as a central DoD hub for sequencing and advanced characterization of Force Health Protection (FHP) relevant pathogens in Africa.The current COVID-19 pandemic has further highlighted the importance of access to the NGS and bioinformatics in laboratories throughout the world. This makes the need of workshops such as ours even greater. However, the pandemic has also made travel and in-person learning a challenge, and therefore, GEIS is planning on development of virtual versions of the workshops to continue development of this important DoD-wide capability. In addition, Oxford Nanopore\u2019s MinION platform has increasingly been used in pathogen outbreak studies for real-time in-field analyses throughout the world, including analyses of SARS-CoV-2 . AlthougMore broadly, the Consortium goal is the establishment of basic proficiencies and adopted norms in quality assurance and quality control in targeted (hybridization- or amplicon-based) and metagenomic sequencing for viral and bacterial pathogens leading to more reliable results which will ultimately improve DoD public health surveillance and response. An additional objective is the development and maintenance of advanced genomics and bioinformatics capabilities in the United States and priority overseas locations, in order to enhance global health surveillance and facilitate faster response to infectious disease outbreaks. Development of these capabilities with GEIS DoD laboratory partners will require sustained commitment and global coordination. The end results will be the ability to reliably and rapidly sequence, identify, and characterize pathogens of public health importance in order to improve biosurveillance efforts and inform FHP measures throughout the world.All datasets presented in this study are included in the article/IM, WR, KB-L, LM, and RJ designed the training modules and the workshop modules. IM, WR, LV, LM, KP, RJ, JW, SP, and RC prepared and instructed the workshop. IM, WR, LV, KP, SP, RC, JK, KB-L, LM, JW, and RJ performed workshop post-assessment and wrote the manuscript. All authors contributed to the article and approved the submitted version.The views expressed in this article are those of the authors and do not necessarily reflect the official policy or position of the Department of the Army, Department of the Navy, Department of Defense, or United States Government. Several of the authors are United States Government employees. This work was prepared as part of their official duties. Title 17 U.S.C. \u00a7105 provides that \u201cCopyright protection under this title is not available for any work of the United States Government.\u201d Title 17 U.S.C. \u00a7101 defines a U.S. Government work as a work prepared by a military service member or employee of the U.S. Government as part of that person\u2019s official duties.LV and RC were employed by company Leidos, United States. The remaining authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Mycobacterium leprae, an acid-fast bacillus that mainly affects the skin and peripheral nervous tissue. Many of the clinical manifestations of leprosy can mimic connective tissue diseases. The authors present the case of a 49-year-old woman who had been treated for four years for systemic lupus erythematosus in a rheumatological service. Skin biopsy of a plaque on the inguinal region was compatible with borderline lepromatous leprosy associated with a type 1 lepra reaction. The patient is undergoing treatment with multibacillary multidrug therapy, showing clinical improvement.Leprosy is an infectious disease with chronic evolution, caused by A 49-year-old woman reported pain in the interphalangeal joints and lower limbs, a skin rash, and alopecia; all symptoms persisted for four years. She was being treated for systemic lupus erythematosus with hydroxychloroquine, azathioprine, methotrexate, and prednisone. On physical examination, she presented generalized erythematous plaques, and infiltrated areas on the trunk, on the ears, and fingers, as well as diffuse non-healing alopecia .Figure 1She presented 24-hour proteinuria within normal limits, positive ANA , positive anti-cardiolipin IgM antibodies, and anti-SM and anti-double helix DNA, both negative.a)Subacute lupusb)Dermatomyositisc)Lepromatous leprosyd)Diffuse eosinophilic fasciitisShe also presented paresthesia of the lower limbs, and thickening and pain on palpation of the left ulnar and left external sciatic popliteal nerves.The bacilloscopy of the ear and two trunk lesions was positive (smear index: 3.33). Histopathology of the plaque in the inguinal region showed an epidermis with hyperkeratosis; in the dermis, edema and a perivascular, periadnexal, and interstitial mild inflammatory infiltrate composed of lymphocytes, histiocytes, plasmocytes, epithelioid cells, and sparse giant Langhans cells, involving the subcutaneous tissue, adipocytes and septa. Wade staining showed a large number of intracellular acid-fast bacilli, grouped in globi, fragmented and granular A and 3 BMycobacterium leprae, an acid-fast bacillus, with tropism for Schwann cells and the reticuloendothelial system. The bacillus mainly affects the skin and peripheral nervous tissue.M. leprae to regulate cytokine production and induce Th1 or Th2 responses contributes to the variety of clinical presentations of the disease.Leprosy is a chronic contagious infectious disease, caused by Rheumatological manifestations are observed in 64% to 77% of patients with multibacillary leprosy, especially when presenting lepra reactions.Positive ANA can be observed in 3% to 34% of leprosy patients. Titers are generally low, and the speckled and homogeneous patterns are the most common.The different clinical manifestations of leprosy pose a diagnostic challenge, since they can mimic other diseases, including autoimmune disorders. The difficulty of diagnosing leprosy early can increase the chance of transmission and cause deformities secondary to peripheral nerve involvement.None declared.Larissa Daniele Machado G\u00f3es: Elaboration and writing of the manuscript; critical review of the literature; critical review of the manuscript.Juliana Alves Scrignoli: Approval of the final version of the manuscript; conception and planning of the study; elaboration and writing of the manuscript; obtaining, analyzing, and interpreting the data; effective participation in research orientation; intellectual participation in propaedeutic and/or therapeutic conduct of studied cases; critical review of the literature; critical review of the manuscript.Patr\u00edcia Morais: Statistical analysis; approval of the final version of the manuscript; conception and planning of the study; elaboration and writing of the manuscript; obtaining, analyzing, and interpreting the data; effective participation in research orientation; intellectual participation in propaedeutic and/or therapeutic conduct of studied cases; critical review of the literature; critical review of the manuscript.Patr\u00edcia Morais: Statistical analysis; approval of the final version of the manuscript; conception and planning of the study; elaboration and writing of the manuscript; obtaining, analyzing, and interpreting the data; effective participation in research orientation; intellectual participation in propaedeutic and/or therapeutic conduct of studied cases; critical review of the literature; critical review of the manuscript.None declared."}
+{"text": "Indomethacin (IND) is a drug which after successful clinical trials became available for general prescription in 1965 and from that time is one of the most widely used anti-inflammatory drug with the highest potencies in the in vitro and in vivo models. However, despite its high therapeutic efficacy in relieving the symptoms of certain arthritis and in treating gout or collagen diseases, administration of IND causes a number of adverse effects, such as gastrointestinal ulceration, frequent central nervous system disorders and renal toxicity. These obstacles significantly limit the practical applications of IND and make that 10\u201320% of patients discontinue its use. Therefore, during the last three decades many attempts have been made to design novel formulations of IND aimed to increase its therapeutic benefits minimizing its adverse effects. In this review we summarize pharmacological information about IND and analyze its new lipid formulations and lipid bioconjugates as well as discuss their efficacy and potential application. This compound is one of the most useful antirheumatic drugs and prime drug recommended for the treatment of gout, collagen diseases, ankylosing spondylitis, osteoarthritis, and acute shoulder pains. Indomethacin was discovered in 1963 and two years later has been approved by the Food and Drug Administration (FDA) as a drug with anti-inflammatory, analgesic, and antipyretic properties for use in the United States . The. The2]. ammation . In 2002ammation . In termammation .Indomethacin belongs to the group of non-selective non-steroidal anti-inflammatory drugs. Similarly, to acetylsalicylic acid, diclofenac or ketoprofen, indomethacin also acts on the way of additional mechanisms of formation of pain and inflammation demonstrating the ability to inhibit the passage of leukocytes through the vascular walls to the site of inflammation in the tissues . AccordiThe relative potency of NSAIDs increases in the following order: aspirin < phenylbutazone < ibuprofen < naproxen < indomethacin both in the in vitro and in vivo models. This indicates the potent anti-inflammatory effect of indomethacin compared to other NSAIDs and partially is responsible for the popularity of the first three drugs . IndometO-demethylation, N-deacylation, or both reactions (O-desmethyl-indomethacin (DMI), O-deschlorobenzoyl-indomethacin (DBI), O-desmethyl-N-deschlorobenzoyl-indomethacin (DMBI), and their conjugates with glucuronides . Du. Du64]. In the next years the effect of lipid composition and size on the targeting potential of liposomes encapsulated IND in arthritic rats as well as methods for increasing their circulation time have been extensively studied by Srinath and coworkers ,70,71. MThe enhancement of absorption of IND by increasing the retention time at the absorption site and reducing the distance to the blood was reported for liposomes modified with chitosan . In fastThe safety of liposomal formulation of IND was evaluated in a pregnant mouse model ,74. RefuBioconjugation of therapeutics is an effective method for targeted drug delivery and reduction of their undesired side effects. Linkage of drug with other biomolecule via covalent bond offers many clinical benefits like enhanced disease-specific targeting, reduced toxicity, optimized pharmacokinetics, and improved efficacy, safety, and tolerability. Especially bioconjugates are attractive which include lipids as the building blocks. As hydrophobic compounds, lipids after passing through the intestinal walls, penetrate into the lymphatic system through which they connect with the circulatory system at the level of the thoracic vein. This way of transporting lipids in the circulatory system distinguishes them from hydrophilic compounds, which, after penetration into the intestinal walls, reach the blood vessels, and then are transported through the portal vein to the liver, and then to the general circulation. Giving a lipid character to drugs after their conjugation with lipid molecule increase their concentration in the body, prolong release and blood circulation . Active sn-2 position of triacylglycerol (TAG) skeleton, which ensured the appropriate level of salicylates in the blood excluding the occurrence of gastric irritation ..2 enzymeThis work presents an overview of the literature data about indomethacin developed during the past few decades, methods of reduction of its gastrotoxicity, and targeted delivery by formation of lipid formulations and bioconjugates. The study summarized in this review established lipid bioconjugates of indomethacin as promising candidate for future clinical studies and proved that lipids protect against acute intestinal epithelial injury caused by indomethacin and effectively increased the therapeutic efficiency of this drug.Application of phospholipids and nanotechnology is a promising approach for further development of innovative formulation for indomethacin and other drugs from the group of NSAIDs and is expected to grow in the near future."}
+{"text": "Amphiphilic Polymer Co-networks: Synthesis, Properties, Modelling and Applications is a new and very interesting book published by the Royal Society of Chemistry and edited by Prof. Costas S. Patrickios (University of Cyprus). Herein, a brief review of the most important features of the book and its contents is provided from a personal perspective. The presence in these materials of the hydrophobic segments, in addition to the hydrophilic ones, allows only limited water absorption , rendering them less fluid-like and mechanically stronger than classical hydrogels. Provided that the hydrophobic components come in segments of several consecutive hydrophobic units, these hydrophobic segments aggregate and the APCNs undergo self-organization in water, a process analogous to surfactant aqueous micellization. Upon APCN deformation, these hydrophobic pockets dissipate mechanical energy, rendering these materials stronger. The hydrophobic pockets can also solubilize hydrophobic solutes, such as drugs to be subsequently delivered, or sequester oils or other hydrophobic pollutants for environmental remediation. Polymeric hydrogels are crosslinked hydrophilic polymers which are capable of absorbing water, having the characteristics of both a solid and a fluid. Their higher water content makes hydrogels more fluid and transparent but also more fragile. Polymeric materials consisting of crosslinked hydrophilic and This book Figure is aboutN-vinylimidazole), poly(ethylene glycol), poly[(2-dimethylamino)ethyl methacrylate], polysaccharides or poly(ethylene glycol)s, among others, and hydrophobic domains derived, for instance, from poly(tetrahydrofuran), polyisobutylene, poly(\u03b5-caprolactone), four-armed star poly(ethyl glycidyl ether)s and poly(dimethylsiloxane)-based crosslinkers. Important properties discussed throughout different chapters include aqueous swelling, thermophysical and mechanical properties, self-assembly mechanism, morphological features, external stimuli responsiveness, , degradation and protein adsorption. In addition, useful comparisons between the properties of these materials and those of common polymeric hydrogels are provided for important examples. Applications described in the book chapters include, for instance, the use of APCNs in soft contact lenses, drug delivery, tissue engineering, heterogeneous biocatalysis , and for the fabrication of membranes of controllable permeability and antibacterial hybrid materials. Furthermore, an important theory chapter on the simulation of the self-assembly of APCNs, focusing on microphase separation and order\u2013disorder transitions, is also included.The book\u2019s 15 chapters are written by experts in the field, coming from four continents and 12 countries, and are organized into four sections that include synthesis, properties, modeling and applications. The chapters describe and discuss new developments in the field, while the history of APCNs since their origin in 1988 is summarized in the Foreword by Prof. J. P. Kennedy of the University of Akron and in Chapter 1 by the editor of the book. A brief outlook for the field is provided at the end of Chapter 1. The co-network architectures discussed in this book are mainly derived from hydrophobic macromolecular crosslinkers which represent the classical approach; however, more modern designs as well as the use of more efficient coupling chemistries are also presented. Among different APCNs, the book emphasizes those based on the combination of hydrophilic components such as poly(Professor Costas S. Patrickios obtained his PhD in 1993 at the Massachusetts Institute of Technology (MIT) in Cambridge, Massachusetts in the USA. Between 1994 and 1996, Dr. Patrickios worked as a post-doctoral researcher at the University of Sussex in the UK. Then, he served as a Lecturer at the University of Manchester Institute of Science and Technology (UMIST) (1996\u20131997), also in the UK. In 1998, he joined the Department of Natural Sciences (now Department of Chemistry) at the University of Cyprus (Republic of Cyprus), where he has remained since then. His main research has been focused on the synthesis and characterization of amphiphilic polymer co-networks based on interconnected amphiphilic block copolymers prepared using the living/controlled polymerization techniques group transfer polymerization (GTP), atom transfer radical polymerization (ATRP) and reversible addition-fragmentation chain transfer (RAFT) polymerization. He is currently the Chair of the Polymer Networks Group (PNG), an international organization promoting research on polymer networks and gels.In conclusion, this is a timely and decisively important book with well-articulated content, which invites the hydrogel research community to consider adding a hydrophobic block/segment to their materials in order to convert them into amphiphilic gels and examine whether the resulting properties are improved for the particular application compared to those of the original hydrogels. The book\u2019s style and its content diversity make it appropriate for graduate students and researchers interested in hydrogels, polymer chemistry, polymer networks, self-assembly and nanomaterials. Certainly, this is a must-read book for all those who are passionate about engineering new functional hydrogels that can contribute to solving real-world challenges."}
+{"text": "Improving food and nutritional diversity based on the diversity of traditional plant-based foods is an important dietary strategy to address the challenges of rapidly emerging diet- and lifestyle-linked noncommunicable chronic diseases (NCDs) of indigenous communities worldwide. Restoration of native ecosystems, revival of traditional food crop cultivation, and revival of traditional knowledge of food preparation, processing, and preservation are important steps to build dietary support strategies against an NCD epidemic of contemporary indigenous communities. Recent studies have indicated that many traditional plant-based foods of Native Americans provide a rich source of human health\u2013relevant bioactive compounds with diverse health benefits. Based on this rationale of health benefits of traditional plant-based foods, the objective of this review is to present a state-of-the-art comprehensive framework for ecologically and culturally relevant sustainable strategies to restore and integrate the traditional plant food diversity of Native Americans to address the NCD challenges of indigenous and wider nonindigenous communities worldwide. Loss of plant-based food diversity and subsequent changes in dietary patterns closely associated with higher daily intake of more hyperprocessed and calorie-dense foods have partly contributed to the rapid rise of diet- and lifestyle-linked noncommunicable chronic diseases (NCDs) across different communities worldwide , 2. The Most public health reports from last 2 decades have suggested that Native American communities and Alaska Natives of the United States are facing increasing health challenges due to the NCD-linked epidemic of type 2 diabetes (T2D) and cardiovascular diseases (CVDs) , 8. A naThe framework and strategies suggested in this review are to revive and revitalize the traditional plant-based food diversity of Native Americans and to integrate such foods into contemporary healthy dietary patterns as part of overall public health solutions for NCD epidemics. Kuhnlein and Receveur defined The foundations of life, such as food resources, medicines, cultures, rituals, and spiritual integrity, of indigenous Native American communities have long been rooted and associated with their respective native and localized ecosystems . DiverseTherefore, a resilient native ecosystem with high species biodiversity, including plant-based food diversity, is essential for the sustainability and well-being of dislocated Native American communities . The negPrior to developing sound food diversity and nutritional intervention strategies to advance public health policies addressing NCD-linked health disparities of Native American communities, it is important to understand and recognize significant dietary and lifestyle changes and what has happened in the socioeconomic and ecological domains in these communities. Until the early 20th century, most Native American tribes farmed, hunted, or fished on their own lands and wetlands or gathered foods and medicinal plants from the woods and forests . The traHowever, in the last century the growth of industry and technology triggered a general shift from home cooking to higher consumption of commercially produced food products from a few calorie-dense food plants and rise in commercial animal farming that led to the development of multiple popular food chains across the United States . To suppNCDs such as obesity-linked T2D and CVDs are rapidly increasing in prevalence and becoming the leading cause of death in different communities, including indigenous and wider nonindigenous populations worldwide . HoweverThe latest report of the National Center for Chronic Disease Prevention and Health Promotion indicates the highest prevalence of diagnosed diabetes in Native American and Alaska Natives, with 14.9% in men and 15.3% in women . HoweverTraditional wisdom, invention, and continuous observation guided early humans to adopt and incorporate plant-based foods in their diet and for medicinal uses depending on their availability and nutritional properties relevant to human well-being , 12. MesIn this context, many plant-based foods from very specific and localized ecosystems such as wild rice of the Great Lakes region or cranberry from North-Eastern America were widely used in traditional Native American diets , 37. FurSeveral traditional food plants and wild edibles of Mesoamerican origin are rich sources of phytochemicals relevant to human health, such as phenolic bioactives, with diverse health benefits . These tTherefore, traditional plant-based foods of Native Americans, with their rich source of natural phenolic antioxidants, can be incorporated in dietary intervention strategies to counter chronic oxidative stress and other metabolic dysfunctions commonly associated with T2D, CVDs, and GDM , 38, 40.Squash is also a rich source of phenolic antioxidants and has natural angiotensin-converting enzyme (ACE) inhibitors, which are important for T2D-linked hypertension management . High phOverall, the average consumption of traditional and ethnic plant-based foods by Native American communities is <10%, and many living in the reservations do not even have access to traditional foods . TherefoEarly human migration and settlement, such as the migration of Native American tribes across North America, was partly guided by the quest for food and based on the availability of diverse plant and animal food resources in their respective ecosystems . HoweverTherefore, it is important to revive the knowledge of traditional food systems of Native Americans and restore information about traditional food plants, wild edibles, and other relevant natural food resources . To achiScreening and comparing human health\u2013relevant nutritional profiles and diverse health benefits of traditional plant-based foods is essential for building more resilient and robust dietary intervention strategies, especially to counter the diet-linked NCD epidemic of indigenous communities , 47. OveRevival of traditional knowledge of indigenous culture-specific cultivation practices is as important as understanding the nutritional qualities and associated health benefits of the native food plants. Appreciation of natural food and nonfood resources and their spiritual connection with native ecosystems is a significant part of the ethos of indigenous Native American tribes . The traSimilar to different traditional cultivation practices, food preparation, processing, and preservation practices of traditional food plants and wild edibles also have significant relevance in determining optimum nutritional qualities and associated health benefits of traditional Native American foods . AnotherTo address the NCD-linked health disparities of Native American communities, it is also important to integrate nonindigenous food plants and plant-based foods rich in human health\u2013relevant bioactives into traditional Native American diet models . Such inActive participation and continuous engagement of Native American communities in decision processes around food and health policy are extremely important for successful outcomes of any intervention strategies , 37. SucRestoring indigenous food sovereignty is essential to address the severe public health challenges linked to food and nutritional security of contemporary Native American communities. However, challenges related to indigenous food sovereignty are extremely complex due to interlinkage of different cultural, ecological, social, political, and economic factors. Therefore, to address such complex indigenous food sovereignty issues, it is important to develop more sustainable and community-oriented strategies based on a systems approach by understanding the ecological, cultural, social, and economic contexts of traditional foods of Native Americans. Additionally, such resilient and robust strategies to improve food and nutritional diversity based on traditional food plants and native medicinal plants of Native Americans should also have enough flexibility to adjust and evolve based on the needs of Native American communities and their contemporary cultural and ecological relevance. Therefore, restoration of traditional food systems of Native Americans and integration of nonindigenous healthy foods from contemporary American diets into traditional food systems to enhance nutritional diversity can have a profound impact on advancing nutritionally linked health outcomes of Native American communities, especially to combat the rapidly increasing NCD epidemic. However, most importantly we have to recognize that access to nutritionally balanced traditional foods is not a privilege but a right of indigenous people of North America and worldwide. Overall, acknowledging and accepting this simple fact can help to develop and advance more effective and sustainable policy measures to enhance traditional food and nutritional diversity in contemporary diets for improving the health, livelihood, and well-being of Native American communities and wider nonindigenous communities."}
+{"text": "Abrupt industrialization, urbanization, and the emergence of the nuclear family have contributed to the increase of single-person households, placing an emphasis on individualization in society. Because of such changes, more people are living alone and feeling lonely, alienated from society and family. This research examined the association between loneliness and age-friendly environment, a community equipped with policies, settings, services, and structures that promote active ageing and aging-in-place, with the mediating roles of social support and sense of community. The study analyzed a total of 590 respondents aged 45 and above using data from the age integration survey conducted by the OO Research Institute of South Korea. Structural equation modelling and the bootstrapping method were applied. Age-friendly environment was positively associated with social support and sense of community . Social support was negatively associated with loneliness . The full mediation effect of social support was observed in the pathway from age-friendly environment to loneliness . Social support was fundamental in lowering loneliness, and age-friendly environment could only reduce loneliness by following a pathway that enhances social support. In other words, despite how well an age-friendly environment is established, it would not decrease an individual\u2019s loneliness unless it also enhances social support level. This finding sheds importance in maintaining satisfactory relationships that enable sharing of feelings, and fulfilling emotional and social needs in lowering loneliness. Measures to increase social support level within community are suggested."}
+{"text": "Functional polymers show unique physical and chemical properties, which can manifest as dynamic responses to external stimuli such as radiation, temperature, chemical reaction, external force, and magnetic and electric fields. Recent advances in the fabrication techniques have enabled different types of polymer systems to be utilized in a wide range of potential applications in smart structures and systems, including structural health monitoring, anti-vibration, and actuators. The progress in these integrated smart structures requires the implementation of finite element modelling using a multiphysics approach in various computational platforms. This special issue presents six scientific report articles.The Special Issue opens with work from Eindhoven University of Technology in a joint study with Bernal Institute, University of Limerick, Ireland, in which the researchers developed a finite element method (FEM) for representing the microstructural behaviour, particularly the swelling of hydrogel beads . As the In the second article, Zhang and colleagues from Northeast Agricultural University, China, designed a novel hierarchical metamaterial with a tuneable negative Poisson\u2019s ratio by re-entrant representative star-shaped unit cells . In thisZolfagharian and Kaynak from the School of Engineering in Deakin University, Australia, worked on the fracture resistance analysis of three-dimensional 3D) printed polymers in collaboration with Khoshravani from the University of Siegen in Germany [D printedIn the fourth article, , Carleo The Special Issue closes with the work of international researchers from the UK, USA, and Egypt in which Atif and colleagues developed a computational fluid dynamics (CFD) model to investigate characteristics of high-speed submicron polyvinylidene fluoride (PVDF) fibres as they are expelled from a blow spinning (SBS) nozzle . The aut"}
+{"text": "This commentary describes the creation of the Zika Virus Individual Participant Data Consortium, a global collaboration to address outstanding questions in Zika virus (ZIKV) epidemiology through conducting an individual participant data meta-analysis (IPD-MA). The aims of the IPD-MA are to (1) estimate the absolute and relative risks of miscarriage, fetal loss, and short- and long-term sequelae of fetal exposure; (2) identify and quantify the relative importance of different sources of heterogeneity for the risk of adverse fetal, infant, and child outcomes among infants exposed to ZIKV in utero; and (3) develop and validate a prognostic model for the early identification of high-risk pregnancies and inform communication between health care providers and their patients and public health interventions . By leveraging data from a diversity of populations across the world, the IPD-MA will provide a more precise estimate of the risk of adverse ZIKV-related outcomes within clinically relevant subgroups and a quantitative assessment of the generalizability of these estimates across populations and settings. The ZIKV IPD Consortium effort is indicative of the growing recognition that data sharing is a central component of global health security and outbreak response. Aedes-aegypti endemic areas in Asia and Africa [While the world has turned to face COVID-19, recent epidemics are re-emerging . Even asd Africa . Despited Africa ,6. IdentBMJ Open (https://bmjopen.bmj.com/content/9/6/e026092).In February 2017, a group of researchers formed the ZIKV Individual Participant Data (IPD) Consortium to conduct an individual participant data meta-analysis (IPD-MA) of ZIKV-related longitudinal studies of pregnant women and their children. The ZIKV IPD Consortium initiative arose from a meeting of international organizations and Ministries of Health in June 2016 to coordinate and harmonize ZIKV-related research efforts . The resAs of August 2020, 52 cohort studies and country-level active surveillance system sites from 28 countries and territories have agreed to contribute de-identified data to the ZIKV IPD Consortium IPD-MA. The use of participant-level data from diverse geographies and populations will allow the team to better identify the clinical, virological, environmental, and individual-level factors that predict severe ZIKV-related fetal effects or adverse neurocognitive or neurodevelopmental outcomes in the child, several of which can only be measured after two years of age . For exaThe global response to ZIKV has been characterized by unprecedented levels of collaboration between countries, research organizations, universities, and surveillance systems . The ZIKWomen living in and travelling to countries with ongoing or recent ZIKV transmission face a tremendous burden from the fear and uncertainty around the risks associated with ZIKV infections during pregnancy, guidance from public health authorities to avoid or delay pregnancy, and the lack of economic and social support for the challenges of raising infants with congenital Zika syndrome (CZS) and other ZIKV-related disabilities and developmental delays ,18. ReseDespite the persistent threat of ZIKV infection to pregnant women and women of reproductive age worldwide, investment in critical areas of ZIKV research is waning. Leveraging existing investments through collaboration will accelerate the development of effective prevention, harm reduction, and control strategies. Best practices and lessons learned from the research response to ZIKV can be used to improve the coordination and speed of the global research response to emerging pathogens.Global travel, trade, urbanization, and climate change have all facilitated the development of novel hosts and exte"}
+{"text": "Caregiving is often considered stressful, even more so if the care recipient has been diagnosed with dementia. The current study examines the rate of cognitive decline of spousal caregivers of persons with dementia (CG-D) when compared to spousal caregivers of persons without dementia (CG) before and after the death of the care recipient. Health and Retirement Study (HRS) data from 1998-2016 were used to examine cognitive trajectories of CG-D (n=364) and CG before and after the care recipient death. Cognition was measured through the HRS\u2019s shortened Telephone Interview of Cognitive Status and separated into measures of total cognition and memory. Covariates included age, education, sex, race, ethnicity, care hours, frailty, socioeconomic status, nursing home placement of the recipient, and whether the death was expected. Piecewise mixed models were constructed to examine two two-year periods of decline leading up to the death of the care recipient, and two two-year periods of decline after the death of the care recipient. CG-D and CG declined at equivalent rates on measures of total cognition and memory (ps > .05). In all caregivers, total cognition and memory declined at a stable rate before the death of the care recipient. However, an accelerated decline was evident after the death of the care recipient (ps < .001). Our results suggest that cognitive decline is not differentially affected by care recipient dementia diagnosis. We find evidence that the death of a spousal care recipient is accompanied by hastened cognitive decline in our population-based sample."}
+{"text": "The author has undertaken multiple echocardiographic studies during his academic career; most of these were published in peer-reviewed journals. These studies include an evaluation of the role of echocardiography in the estimation of left-to-right shunt in isolated ventricular septal defects, an examination of the utility of contrast echocardiography in the diagnosis of anomalous connection of the right superior vena cava to the left atrium, a description of pitfalls in M-mode echocardiographic assessment of the aortic root in left ventricular hypoplasia syndromes, reviews of echocardiographic evaluation of left ventricular function, study of the role of contrast echocardiography in the evaluation of hypoxemia following open heart surgery, a quantification of left ventricular muscle mass by m-mode echocardiography in children, an examination of race and sex related differences in echocardiographic measurements in children, study of cardiac size and function in patients with sickle cell disease, an examination of afterload reduction in the management of primary myocardial disease, study of the utility of echo-Doppler studies in the evaluation of the results of balloon pulmonary valvuloplasty, study of the usefulness of Doppler in the prediction of pressure gradients in valvar pulmonary stenosis, a review of Doppler echocardiography in noninvasive diagnoses of heart disease, echo-Doppler studies of the evaluation of the results of balloon angioplasty of aortic coarctation, study of the value of Doppler in the prediction of pressure gradients across coarctation of the aorta, and a characterization of foramen ovale and transatrial Doppler velocity patterns in the normal fetus. When the author was named as Interim Director of Pediatric Echocardiography Laboratory at Children\u2019s Memorial Hermann Hospital/University of Texas-Houston Medical School, Houston, Texas in 2006, some of the staff critiqued this appointment, as the author was considered to be an interventionist pediatric cardiologist. The author responded to this critique by sending them a list of the his echo publications ,31,32,33At the time of the author\u2019s fellowship training in 1969/1970 at Stanford University Medical Center, Palo Alto, California, there were only two echocardiography recording machines in the United States: one was at University of Indiana, Indianapolis, Indiana and the other at Stanford University. The author was exposed to echocardiography to evaluate mitral valve motion and pericardial effusion on M-mode tracings. During subsequent fellowship training at Case-Western Reserve University and the University of California at Los Angeles, the echo machines had not yet arrived at the respective institutions. By 1972, when the author joined the Faculty at the Medical College of Georgia, Augusta, Georgia, there were indeed echocardiography facilities at that institution. Shortly thereafter, Dr. Wesley Covitz joined our faculty at Georgia and provided the author with additional understanding of the principles and practice of M-mode echocardiography, thereby adding to the author\u2019s knowledge base. This resulted in the author\u2019s active participation in echocardiography research at that time ,4,5. Twop < 0.01) than those of control subjects , we compared the cardiac catheterization data with echocardiographic values (echo performed within 24 h of cardiac catheterization) in 35 babies; 35 children with normal hearts by physical examination and ECG were used as controls ) in the modified Bernoulli equation. Duration-related measures of Doppler flow signal distal to the coarctation site, namely, acceleration time (AT) and antegrade flow time (AFT) , were al2) peak instantaneous and catheterization-measured peak-to-peak gradients resulted in a correlation coefficient of 0.757. (22 \u2212 V12]) in the modified Bernoulli equation (r = 0.763). A comparison of the catheterization data with antegrade flow time (r = 0.82) and antegrade flow time fraction (r = 0.737) showed marginal, if any, improvement in the correlation coefficients following balloon angioplasty of native aortic coarctation; this was similar to reduction in peak-to-peak pressure gradients by catheterization. A discussion of possible reasons for the lack of correlation between Doppler and catheter gradients included peak-to-peak vs. peak instantaneous gradients and possible collateral vessel flow in aortic coarctation. It was concluded that (i) the magnitude and duration related Doppler velocity recordings are helpful in estimating coarctation gradients, and (ii) Doppler is useful in demonstrating the relief of obstruction by balloon angioplasty [It was further noted that the Doppler flow velocity magnitude and calculated gradients improved in fetal circulation, the size of and shunt velocity patterns across the FO in the fetus had not been thoroughly investigated as of the mid-/late-1980s. Therefore, we endeavored to define the normal size of FO and the Doppler velocity patterns across the atrial septum in the normal fetus. Normal human fetal ultrasound studies in 48 consecutive fetuses were examined and the size of FO, foramen flap angle , its motThe maximal FO diameter was similar to the diameter of the Ao at all gestational ages ; there wOur study showed that the size of normal foramen ovale is similar to aortic root diameter, and that the foramen flap angle reaches 30 degrees or greater. Right-to-left flow is as anticipated for fetal circulatory physiology; the left-to-right flow documented in this study was unexpected and may be related instantaneous pressure difference between atria, as previously shown in patients with tricuspid atresia . These fThe author\u2019s contributions to the echocardiography literature from 1991 to the current date will be detailed in Part II of this review."}
+{"text": "Genital lesions are an unusual presentation of American cutaneous leishmaniasis. Conditions such as disseminated cutaneous leishmaniasis and HIV infection may be associated with genital involvement. The authors present five cases of American cutaneous leishmaniasis with genital lesions and discuss the clinical and epidemiological aspects observed in this case series. Leishmania transmitted by the bite of infected female sandflies, insects of the genus Lutzomyia.3American cutaneous leishmaniasis (ACL) is an infectious disease caused by protozoa of the genus DL constitutes up to 2% of ACL cases and probably occurs due to the lymphatic or hematic spread of the parasite from the bite site.4Genital lesions are an unusual presentation of ACL and suggest hematic dissemination in patients with DL or direct inoculation of the parasite in patients with isolated genital lesions who sleep naked outdoors or perform bodily functions in endemic areas of ACL without sanitary facilities.Leishmania (Viannia) braziliensiss, as all patients were inhabitants of the state of Rio de Janeiro with no recent history of travel.Although Sexually Transmitted Infections (STIs) are the main causes of penile ulcers, other conditions such as fixed drug eruption erythema, autoimmune bullous dermatoses, psoriasis, Beh\u00e7et's disease, Reiter's syndrome, pyoderma gangrenosum, lichen planus, and squamous cell carcinoma can also cause genital ulcers.ACL should be considered in the differential diagnosis of chronic genital lesions in patients who reside in or travel from endemic areas, especially when associated with mucosal lesions in UADT and multiple, polymorphic skin lesions. Furthermore, the presence of genital lesions can aid in the differential diagnosis of granulomatous diseases with similar clinical presentation, such as paracoccidioidomycosis, histoplasmosis, and disseminated sporotrichosis.Genital involvement in ACL probably occurs due to hematic dissemination in patients with DL. Therefore, ACL should be included in the differential diagnosis for patients from endemic areas with genital ulcers, especially in the presence of mucosal lesions in UADT and multiple skin lesions.Instituto Nacional de Infectologia Evandro Chagas (INI).Marcelo Rosandiski Lyra: Approval of the final version of the manuscript; conception and planning of the study; elaboration and writing of the manuscript; obtaining, analyzing, and interpreting the data; intellectual participation in propaedeutic and/or therapeutic conduct of studied cases; critical review of the literature; critical review of the manuscript.Alan Bittencourt da Silva: Elaboration and writing of the manuscript; obtaining, analyzing, and interpreting the data; critical review of the literature; critical review of the manuscriptCl\u00e1udia Maria Valete-Rosalino: Approval of the final version of the manuscript; elaboration and writing of the manuscript; intellectual participation in propaedeutic and/or therapeutic conduct of studied cases; critical review of the literature; critical review of the manuscript.Maria In\u00eas Fernandes Pimentel: Approval of the final version of the manuscript; elaboration and writing of the manuscript; intellectual participation in propaedeutic and/or therapeutic conduct of studied cases; critical review of the literature; critical review of the manuscript.None declared."}
+{"text": "Statistical models are increasingly being used to estimate and project the prevalence and burden of asthma. Given substantial variations in these estimates, there is a need to critically assess the properties of these models and assess their transparency and reproducibility. We aimed to critically appraise the strengths, limitations and reproducibility of existing models for estimating and projecting the global, regional and national prevalence and burden of asthma.We undertook a systematic review, which involved searching Medline, Embase, World Health Organization Library and Information Services (WHOLIS) and Web of Science from 1980 to 2017 for modelling studies. Two reviewers independently assessed the eligibility of studies for inclusion and then assessed their strengths, limitations and reproducibility using pre-defined quality criteria. Data were descriptively and narratively synthesised.We identified 108 eligible studies, which employed a total of 51 models: 42 models were used to derive national level estimates, two models for regional estimates, four models for global and regional estimates and three models for global, regional and national estimates. Ten models were used to estimate the prevalence of asthma, 27 models estimated the burden of asthma \u2013 including, health care service utilisation, disability-adjusted life years, mortality and direct and indirect costs of asthma \u2013 and 14 models estimated both the prevalence and burden of asthma. Logistic and linear regression models were most widely used for national estimates. Different versions of the DisMod-MR- Bayesian meta-regression models and Cause Of Death Ensemble model (CODEm) were predominantly used for global, regional and national estimates. Most models suffered from a number of methodological limitations \u2013 in particular, poor reporting, insufficient quality and lack of reproducibility.Whilst global, regional and national estimates of asthma prevalence and burden continue to inform health policy and investment decisions on asthma, most models used to derive these estimates lack the required reproducibility. There is a need for better-constructed models for estimating and projecting the prevalence and disease burden of asthma and a related need for better reporting of models, and making data and code available to facilitate replication. Resources are limited and health system planners need to make investment decisions based on available evidence of disease prevalence, associated morbidity and health care utilisation, mortality and costs, how these are likely to have the potential to change over time and their amenability to interventions -8. ModelFocusing specifically on estimates of asthma prevalence and burden, we observe that varying estimates have been reported in the published literature at national, regional and global levels, which are not consistent over the years and published in any language. Our outcomes of interest were the prevalence of asthma and different components of the disease burden of asthma. The components of disease burden were direct and indirect costs of asthma , disability-adjusted life years (DALYs), years lived with disability (YLDs), years of life lost (YLLs), potential years of life lost, healthy years of life lost, active life expectancy, disability-free life expectancy, disability-adjusted life expectancy, and healthy life expectancy (HALE).We identified relevant published and unpublished studies through searching electronic databases, hand-searching of pertinent journals and checking reference lists of all the eligible papers for studies published between January 1980 and September 2017. The following electronic databases were searched: Medline, Embase, World Health Organization Library and Information Services and Web of Science Core Collection. Journals that were hand-searched included The Lancet, BMJ (1980-2017), European Respiratory Journal (1988-2017), Lancet Respiratory Medicine (2013-2017), Lancet Global Health (2013-2017) and Journal of Global Health (2011-2017). We ran the last searches on 16 September 2017. We included papers published in any language and translated the papers that were not in English with the help of fluent or native speakers.Comprehensive search strategies were developed for all the aforementioned databases in consultation with a senior medical librarian at The University of Edinburgh to identify both published and unpublished (grey literature) primary studies as well as reviews. The search terms used included but were not limited to asthma, wheeze, epidemiology, prevalence, burden, morbidity, mortality, DALY, QALY, HALE, primary health care, emergency service, hospitalisation, absenteeism, cost of illness, model, estimate, projection. The detailed search strategies used to search each database are given in Appendix S1 in the Two reviewers independently checked and screened the titles and abstracts of identified articles against the inclusion criteria. Full-text copies of potentially eligible studies were obtained and assessed by two independent reviewers (MRB and MAI) on the basis of the inclusion criteria. Discussion between the two reviewers resolved the majority of discrepancies; a third reviewer (BIN) arbitrated in the case of any disagreements.We developed a data extraction form and used it to extract relevant data from included studies. The data extraction form was piloted on 10 included studies and was then refined accordingly prior to full use in the review. Data extraction was performed independently by two reviewers (MRB and MAI). Any discrepancies in data extraction were resolved through discussion between the reviewers, with arbitration by a third reviewer (BIN) if a decision could not be reached.The following data items were extracted from each paper: 1) study identification ; 2) aims and methods of the study ; 3) model information .As this review mainly focused on the properties of models rather than quantitative measures, we did not perform any quantitative synthesis of the data.We produced a tabular summary of the data to summarise the overall evidence. Descriptive statistics and graphical presentation were used to summarise the results. A detailed critical narrative synthesis of the models was undertaken regarding their strengths, limitations and reproducibility.To our knowledge, there is no existing quality appraisal tool to assess the quality of the components of models for estimating the prevalence and burden of diseases. We therefore developed our own model evaluation checklist by adapting relevant sections from pertinent critical appraisal checklists ,23, repoOur checklist consists of 13 quality criteria that a model should possess. We present the checklist by a pyramid in This systematic review is reported following the guidelines of the Preferred Reporting Items for Systematic review and Meta Analysis (PRISMA) checklist .Our electronic search of the databases yielded a total of 23\u2009571 references. After removing duplicates, 18\u2009502 study titles and abstracts were screened against our inclusion criteria. Among these, 287 full-text articles were assessed in detail. Finally, 92 papers met the inclusion criteria. An additional 16 papers identified from hand-searching of journals and scrutinising reference lists of included studies met the inclusion criteria. Therefore, a total of 108 studies were included in the systematic review. The PRISMA flow diagram of the selected papers is presented in We identified 94 studies that estimated the prevalence and burden of asthma at a national level; two at a regional level; seven at both global and regional levels; and five at global, regional and national levels ; two models were used to derive regional level estimates; four were used for global and regional estimates; and three models were used to derive global, regional and national estimates studies ,35-127 pMost studies failed to fulfil two internal model quality criteria and all the external criteria. Sixty-two 57.4%) studies ,127-129 .4% studiWe found only 20 (18.5%) studies ,117,122 Further analysis, assessing whether the included studies adhered the new Guidelines for Accurate and Transparent Health Estimates Reporting (GATHER) showed tThis systematic review of the international literature has found that a variety of models are used to estimate disease prevalence and burden; most models, however, suffer from methodological limitations, in particular, lack of reproducibility and sub-optimal reporting.Almost all the studies provided a clear statement about the questions that the models aimed to answer. The majority of the studies described the structure of the models explicitly; mentioned the methods used to fit the models or used to estimate model parameters; and applied appropriate modelling tools to deal with the nature, distribution and type of input data. These were the strengths of the models. However, these models had substantial limitations. We observed a lack of clarity in reporting the models. The majority of the studies did not provide any information on the model assumptions, methods of model building, methods of model diagnosis, methods of handling missing data, model validation and sensitivity analysis. In addition, many studies did not adequately present the final model parameter estimates, standard errors and confidence intervals. Moreover, most of the models could not be reproduced as the studies did not provide input data , computer coding, a model fitting manual or complete information about the process of model formulation.The main strengths of this review include the comprehensive search strategy employed, the use of established methodology and the inclusion of studies from all over the world including studies published in any language. Critical appraisal of identified models and expert involvement in developing model assessment tools further strengthened the credibility of this review. However, this review has a number of potential limitations. As with any systematic review, we may have missed some studies. Although risk factor based models or association models are particularly essential to assess determinants of a disease, we did not include studies that used models to estimate risk factors or to assess association rather than estimating prevalence and disease burden using model. The use of a self-developed customised model evaluation tools, due to the lack of appropriate critical appraisal checklist, may be considered to be a further limitation of this review. There is a need for the development of an internationally standard tool that will be used for the purpose.This systematic review is the first to synthesise models for prevalence and burden of asthma in the context of national, regional and global estimates and projections. Previous systematic reviews on disease modelling studies were mainly undertaken on other domains, such as prediction models -139, ecoExisting estimates are heavily reliant on modelling studies due to lack of data on direct measurements of asthma cases in many countries and regions. Whilst these modelling studies have advanced better understanding and appreciation of the burden of different diseases, the lack of reproducibility of the models, as highlighted in this review, requires concerted effort from researchers and decision makers to set in place platforms that will ensure that estimates of disease burden produced can be reproduced. Policymakers should thus be aware of the transparency of modelling processes and the reliability of the input data when making decisions on the basis of these model-based estimates.The findings of this review suggest that models should be carefully designed to incorporate all the necessary methodological components required to develop a robust model, including an explicit statement about the purpose and structure of the model; statement of necessary model assumptions; variable selection applying appropriate techniques; model diagnostic accuracy checking; assessing goodness-of-fit; addressing missing data by applying suitable techniques; applying optimum methods of parameter estimation; carrying out sensitivity analysis; and performing both internal and external model validation. Besides, a highly complex model usually lacks understanding, usability, reproducibility and, hence, credibility. While publishing models, sufficient information about the complete modelling process, therefore, should be reported to facilitate its understanding and usability for non-technical audiences. For example, a model development manual should be made publicly available, including input data and necessary computer code, to describe the step-by-step process of model development with illustrative examples. Although the perspectives of this review are prevalence and disease burden of asthma, these recommendations also apply to the modelling prevalence and burden of other chronic diseases.Future research could potentially be undertaken to develop consensus guidelines for developing or fitting and reporting models for prevalence and burden of diseases. Moreover, developing a critical appraisal checklist for assessing the quality of models for prevalence and burden of diseases is another key area for future research.Of the available approaches, we found the Bayesian meta-regression method- DisMod-MR, DisMod-MR 2.0, DisMod-MR 2.1 and CODEm ,9,14,17 Amidst data types and their sources, modelling remains indispensable for estimating the prevalence and burden of disease. This evidence synthesis has shown that existing models that have been applied to estimate the prevalence and burden of asthma suffer from methodological limitations, in particular, suboptimal reporting and lack of reproducibility. There is a need to enhance the reportage of models used for estimating and projecting the prevalence and disease burden of asthma and making data and code available to facilitate replication. Moreover, there is also a need for developing better-constructed asthma-specific models in an attempt to produce more accurate and consistent estimates. In the interim, we suggest using Bayesian meta-regression models and cause of death ensemble models for estimating national, regional and global prevalence and burden of asthma, and Box-Jenkins regression- autoregressive integrated moving average (ARIMA) model to make projections in relation to these estimates. We also suggest to validate the Bayesian meta-regression models against their alternative frequentist or classical models to check which modelling approaches generate better estimates of prevalence and burden of asthma than the others."}
+{"text": "Aedes aegypti. Especially in the tropics, inefficacy of mosquito control causes arboviruses outbreaks every year, affecting the general population with debilitating effects in infected individuals. Several strategies have been tried to control the proliferation of A. aegypti using physical, biological, and chemical control measures. Other methods are currently under research and development, amongst which the use of nanotechnology has attracted a lot of attention of the researchers in relation to the production of more effective repellents and larvicides with less toxicity, and development of rapid sensors for the detection of virus infections. In this review, the utilization of nano-based formulations on control and diagnosis of mosquito-borne diseases were discussed. We also emphasizes the need for future research for broad commercialization of nano-based formulations in world market aiming a positive impact on public health.Arboviruses such as yellow fever, dengue, chikungunya and zika are transmitted mainly by the mosquito vector Aedes aegypti and Aedes albopictus are the most important global vectors of arboviruses, such as dengue, yellow fever, chikungunya, and zika viruses is often late, ineffective, and dependent on the clinical symptoms. The final decision on the infection generally requires a long waiting time, collection of samples from suspected patients , transportation and preservation, and laboratory procedures by trained health staff.Rapid diagnosis of important arboviruses-borne diseases such as dengue, chikungunya, zika, and yellow fever is essential in order to reduce and avoid further dissemination of the infections within the general population Sethi, . These rSeveral recent studies have used mainly LFAs as the basis for the construction of ASSURED biosensing devices. These assays can be performed using microfluidic technologies such as paper-based miniaturized devices that combine several recognition steps in a small area for naked-eye detection and quantification of compounds in complex mixtures, with the sample being collected on a test device and the results being displayed in real time bound covalently to the surface of one or more carbon nanotubes and/or metal nanoparticles present on part of a microelectrode surface, together with an electrically conducting part where a transduction system (sensor) converts the biochemical response into an electric signal . Encapsulation also protects the active agent against premature degradation caused by the effects of light, temperature, oxidation, and humidity, among others , average size around 100\u2013200 nm, zeta potential around\u221240 mV. Both encapsulated EOs reached lethal dosages within 24 h of exposure and total mortality of the tested pests , with the chitosan-based formulations having the best effects. These findings demonstrated the potential of polymeric nanoparticles containing essential oils for use as eco-friendly larvicidal products for the encapsulation of essential oils (geranium and bergamot). Evaluation was also made of the acute and residual larvicidal activities of the formulations against Piper aduncum L. and Piper hispidinervum C. in gelatin nanoparticles, with evaluation of the biological effects against Aedes aegypti. The encapsulation efficiencies exceeded 80%, and the particles were spherical, monodispersed, and smaller than 100 nm in size. Both of the encapsulated essential oils provided lethal effects within 24 h of exposure, with Aedes aegypti mortality greater than 80% and nanoemulsions containing citronella and neem oil, for the control of insects such as Aedes aegypti. The results showed that both the nanoemulsions and the NLCs loaded with the essential oils caused 100% mortality of A. aegypti larvae during the first day of exposure, while the NLCs without essential oil induced 100% mortality after 10 days of exposure. Both carriers showed satisfactory efficacy in the control of A. aegypti larvae synthesized using an aqueous extract of Euphorbia hirta leaves against the larvae of Aedes aegypti (LC50 = 13.2 mg/L) and Culex quinquefasciatus (LC50 = 6.89 mg/L) (Udayabhanu et al., Recent studies have reported the synthesis of various nanoparticles using different natural extracts, with demonstration of the larvicidal, ovicidal, and mosquiticidal activities of these nanoparticles. Udayabhanu et al. observed the larvicidal effect of titanium dioxide nanoparticles (TiOQuisqualis indica plant showed high toxicity against the vectors of filariasis, zika virus, and malaria. In addition, toxicity tests employing three non-target organisms indicated low toxicity of these systems (Govindarajan et al., Another study proposed the green synthesis of Ag NPs for use as an environmentally-friendly alternative to pyrethroid and carbamate larvicides. Silver nanoparticles synthesized from extracts of the The patent databases include inventions that describe methods of green synthesis of metal nanoparticles and metal oxides, with broad applications in consumer products, medicines, pharmaceuticals, and other biomedical products (Hoag et al., The potential application of nano-based formulations in the field of arboviruses management was investigated by analyzing the number of publications in the last ten years. The results revealed that around 1000 articles were published worldwide, which an exponential trend in publication numbers after 2016, mainly for researches related to zika and chikungunya. Overall, many publications have shown that nanotechnology has led to rapid advancements in the development of pesticides, repellents, drug delivery system and diagnostic devices for arboviruses management. However, the clinical translational of nano-based formulations has some bottlenecks that hinders the broad acceptance and commercialization of these products (Hua et al., Much debate still exists regarding the legislation of nanomaterials, which is in an early stage of development. In addition, there is a lack of a clear definition of nanomaterials, lack of standard methods for assessment of pharmacology, toxicology and efficacy evaluation of nano-based formulations and lack of worldwide network for gathering and sharing pertinent information. According to Schnell-Inderst et al. 12% of tAlso, economic issues can limiting the broad commercialization of nano-based formulations Ventola, . In compAedes aegypti-borne diseases.As conclusion, as indicated in this review, it is important to learn and appreciate the great potential offered by nanotechnology in relation to the development of new and more efficient tools and products. In this regard, it is extremely important that ongoing research involves all sectors: academia, industries, research centers, and government agencies, in order to turning this technology into a sustainable commercial reality and to create alternatives for detection and control of EC, JO, and LF proposed the structure of the manuscript. EC, JO, DA, CR, CB, VM, and RM wrote the manuscript. EC and LF revised the manuscript. All authors read and approved the final version of the manuscript.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Addressing the psychological mechanisms and structural inequalities that underpin mental health issues is critical to recovery following disasters and pandemics. The Asia Pacific Disaster Mental Health Network was established in June 2020 in response to the current disaster climate and to foster advancements in disaster-oriented mental health research, practice and policy across the region. Supported by the World Health Organization (WHO) Thematic Platform for Health Emergency and Disaster Risk Management , the network brings together leading disaster psychiatry, psychology and public health experts. Our aim is to advance policy, research and targeted translation of the evidence so that communities are better informed in preparation and response to disasters, pandemics and mass trauma. The first meetings of the network resulted in the development of a regional disaster mental health agenda focused on the current context, with five priority areas: (1) Strengthening community engagement and the integration of diverse perspectives in planning, implementing and evaluating mental health and psychosocial response in disasters; (2) Supporting and assessing the capacity of mental health systems to respond to disasters; (3) Optimising emerging technologies in mental healthcare; (4) Understanding and responding appropriately to addressing the mental health impacts of climate change; (5) Prioritising mental health and psychosocial support for high-risk groups. Consideration of these priority areas in future research, practice and policy will support nuanced and effective psychosocial initiatives for disaster-affected populations within the Asia Pacific region. Disasters create an environment of disruption, trauma and grief, with potential for sustained mental health impacts. Heightened stress during pandemics and disasters can impair individual wellbeing , cognitive function , high-risk behaviours and behavioural outcomes ,2. The mThe Asia Pacific region records the highest frequency of hazards and greatest number of people affected by disasters annually ,10. The In response, the Asia Pacific Disaster Mental Health Network was established in June 2020 to create a collaborative platform for rigorous research, evidence-based practice and tailored policy designed to support improvements in mental health among disaster-affected communities. The network is supported by the World Health Organization (WHO) Thematic Platform for Health Emergency and Disaster Risk Management and its research network . At its The Asia Pacific Disaster Mental Health Network comprises fifteen representatives , selected for their expertise in responding to health emergencies and natural disasters, and work with trauma-affected communities within the region. The network is open to all Asia Pacific nations and currently includes representatives from Australia, Japan, China, Nepal, Sri Lanka, India and the USA. The purpose of the network\u2019s early meetings was to establish a collaborative platform for future research and policy development and set overarching priorities in line with the goals of the WHO Thematic Platform for Health EDRM and its research network. Monthly meetings are conducted via videoconference. The selection of research priorities was conducted through open consultation within the network. An iterative-generative reflective method was adopted, whereby experiential knowledge of network members gleaned through their immersion with affected communities allowed for iterative debate . As reflLarge-scale climate disasters, severe wildfires and the COVID-19 pandemic have drawn renewed global attention to disaster response this year. The COVID-19 pandemic has amplified the structural injustices of race, faith, gender, age, migration and economic inequality within and across societies, with significant implications for mental health (e.g., ,16,17,18Reinforcing local social networks, social solidarity and engagement with community groups in responding to disasters and other mass trauma events will enhance psychosocial outcomes ,25,26. CDisasters create multiple waves of healthcare need. Early response requires a focus on physical injuries, bereavement and re-establishing critical infrastructure for survival . EstabliThe COVID-19 pandemic has fast-tracked the development and widespread adoption of technology in mental healthcare in many settings. Digital mental health services include treatment sessions conducted via video call, telephone helplines, clinical text messaging services, digital health applications and platforms, online streaming and therapy services and mass dissemination of mental health resources on social media ,46. EnabClimate change has increased the frequency and severity of natural disasters in the Asia Pacific region, with resulting risks for mental health problems ,56,57. THigh-risk groups, including those disadvantaged or discriminated against due to the characteristics and intersection of age, gender, sexuality, ethnicity, faith, ability, migration and economic status, may be at greater risk of mental health difficulties during and after disasters ,64. In aThe Asia Pacific Disaster Mental Health Network was established to foster advancements and coordination of psychosocial supports and mental health service delivery, policy development and collaborative research in the region. In line with the priorities of the WHO Thematic Platform for Health EDRM and its research network ,72, the"}
+{"text": "Despite the recent advances in treatment, antineutrophil cytoplasmic antibody (ANCA) associated vasculitides (AAV) are among the rheumatic diseases with the highest morbidity and mortality. These outcomes are affected by a variety of factors apart from the disease itself, and are driven by infections, cardiovascular disease and drug toxicity. Even after the induction of remission, patients and their treating physicians are challenged by frequent relapses, accrual of chronic damage and impaired quality of life. Given their rarity along with their heterogeneous disease spectrum, patient registries are of utmost need for the study of all aspects of AAV. Already established AAV registries have a significant contribution in the apprehension of these diseases outside the strict context of clinical trials, and are becoming increasingly important as new drugs and treatment strategies are about to be introduced in daily practice. We here describe the design of a contemporary, web-based and easy-to-use patient registry specifically for patients with AAV, including all the necessary domains suggested by international working groups. This project is anticipated to contribute in better understanding of AAV in our country, with a future prospect of contributing to and sharing data with other international registries. B-cell depletion (rituximab) is considered a first line therapy for induction and maintenance of remission in patients with GPA and MPA today.5 However, new issues have emerged, given the similar rates of serious infections with cyclophosphamide-based regimens,4 optimal (regular versus biomarker-tailored) dosing, and the management of patients who relapse while on treatment. Significant research projects on AAV are ongoing or recently completed and published, investigating the role of the novel oral, selective C5a receptor inhibitor avacopan as a steroid-sparing agent6 or clarifying the exact role of plasma exchange and lower dose corticosteroids during induction of remission.7Antineutrophil cytoplasmic antibody (ANCA) associated vasculitides (AAV) include granulomatosis with polyangiitis (GPA), microscopic polyangiitis (MPA) and eosinophilic granulomatosis with polyangiitis (EGPA) and carry the highest mortality and morbidity among systemic vasculitides. Even when aggressively treated with glucocorticoids (GCs) and traditional immunosuppressives, mortality is still high (~25% at five years).2 especially in patients with lung involvement, positive PR3 autoantibodies, and high damage index, while it has been shown that the number of relapses correlates with the development of chronic lesions. Prevention, early diagnosis and management of vasculitis-associated damage have been recognised as of paramount importance. Damage in ANCA vasculitis occurs early in the course of the disease, varies according to the type of vasculitis, is correlated with both the disease itself and the treatment the disease itself and the treatment, and significantly affect prognosis.8Nevertheless, the impact and uptake of these promising strategies will need to be studied in real-life settings outside the strict boundaries of clinical trials. Although current therapeutic regimens induce remission in the great majority of patients (70\u201390%), disease relapses are quite common (~40% in 5 years),There are limited data in the literature regarding the long-term prognosis, comorbidities and mortality of patients with AAV in daily clinical practice, outside randomised trials and their extensions. Moreover, the complexity of these diseases in terms of differential diagnosis, the need for interdisciplinary collaboration, the treatment and assessment of outcomes and the long-term vigilance for relapses makes the management of AAV patients quite cumbersome. Due to the rarity of the disease, establishment of patient registries are crucial for the better understanding of the natural course of AAV and, interestingly, registries are one of fields of interest of the EUVAS Research Council along with disease assessment, biomarker studies, epidemiology and aetiology, clinical trials, genetics, toxicity and infection, database, and histology.9 Furthermore, the working group proceeded in the development of AAV-specific patient-reported outcome (PRO) after taking into account and incorporating patients\u2019 perceptive of the impact of the disease on quality of life (AAV-PRO)10 and the implementation of these tools in registries of real-life patients is imperative. Recently, patient registries across Europe and the United States have provided useful information in that direction. Most of these registries are web-based, and this design enables easy access and data entry of participating centers.11The OMERACT (Outcome Measures in Rheumatology) Vasculitis Working Group has recently proposed a core set of outcome measures in AAV research in order to align data collection and assure homogeneity of different datasets. This set includes at least assessment of disease activity, damage, patient-reported outcomes and mortality.To design and establish a Greek Registry, where patients with AAV will be registered and prospectively followed. Candidate participating centres will be rheumatology, nephrology and pulmonary clinics or departments with an expertise in the clinical care of patients with AAV.The registry will include patients with GPA, MPA and EGPA that fulfil 2012 Chapel Hill Consensus Conference Disease Classification Criteria. Patients will be registered irrespective of their age, in order for rare cases of paediatric patients with ANCA vasculitis to be included. Informed consent will be obtained from all study subjects. Patients will be retrospectively and prospectively registered and evaluated at baseline, then every 6 months or at relapse (confirmed or suspected), and data will be entered into an electronic web-based platform. For any new registration, the user will be asked to enter epidemiologic data, a clinical assessment of disease activity and severity/chronicity (VDI), patient-reported outcomes (AAVPRO), comorbidities, hospitalisations (except from those caused by infections), infections (irrespective of severity), laboratory measurements, biopsy and imaging reports and medications. Especially for hospitalisations, infections and medications, universal coding is used to assure optimal data entry. In addition, biologic samples storage (Biobank) is designed, including information on storage of peripheral blood, serum, PBMCs, mRNA in order to enable future biomarker- or basic research projects.AAV are a diverse group of diseases that, although rare, carry high mortality and morbidity and several unmet needs. This study is anticipated to reflect the current clinical and laboratory spectrum of patients with AAV in Greece, to describe treatment regimens currently used and compliance of treating physicians with guidelines, to document rates of chronic lesions and complications related to disease itself or immunosuppressive therapy, to assess efficacy, tolerance and complications of novel biologic agents, and create a biobank of biologic samples from different phases of the disease. Finally, a significant prospect of this study includes the future incorporation of this registry with similar international ones and its participation in multicentre studies held by the vasculitis community."}
+{"text": "Generalized Structural Equation Modeling (GSEM) in prediction of injury leading to motorcyclist hospitalization: a case-control study Abstract Background and Objectives: Given that the SEM model includes both structural and measurement models, It is also a method for the exact test of theoretical models and is very useful for causal modeling. The purpose of the present study is to investigate the predictors of injuries caused the hospitalization of motorcyclists using a Generalized Structural Equation Modeling (GSEM) with mediator in a case-control study.In this case-control study, 300 cases and 156 controls were selected from 150 clusters using a cluster random sampling in Tabriz, Iran. Using of motorcycle-riding behavior questionnaire (MRBQ), Attention-deficit/hyperactivity disorder (ADHD). The GSEM model was used to examine the linear direct and indirect linear relationships of variables in the conceptual model and considering the binary response variable of the model. Also, MRBQ were considered as a mediator variable for the underlying and ADHD and Data analysis was performed by STATA14 software.The predictors of injury were: MRBQ, ADHD and Demographic, The results indicated significant linear and direct relationships between odds of injury and cell phone answering , hyper active child , dark hour riding and MRBQ , while significant inverse relation between injury and being married, academic education .Based on the results GSEM model, Due to the significance of the variables, having intervention programs, on the ADHD, and those who answer their cell phones while driving, and dark hour riding is highly recommended.SEM, GSEM, Traffic, Injury, MRBQ, ADHD"}
+{"text": "Staphylococcus aureus (MRSA) across the human, animal and environmental compartments in East Africa.The emergence and spread of antimicrobial resistance (AMR) present a challenge to disease control in East Africa. Resistance to beta-lactams, which are by far the most used antibiotics worldwide and include the penicillins, cephalosporins, monobactams and carbapenems, is reducing options for effective control of both Gram-positive and Gram-negative bacteria. The World Health Organization, Food and Agricultural Organization and the World Organization for Animal Health have all advocated surveillance of AMR using an integrated One Health approach. Regional consortia also have strengthened collaboration to address the AMR problem through surveillance, training and research in a holistic and multisectoral approach. This review paper contains collective information on risk factors for transmission, clinical relevance and diversity of resistance genes relating to extended-spectrum beta-lactamase-producing (ESBL) and carbapenemase-producing Enterobacteriaceae, and Methicillin-resistant blaCTX-Ms (45.7%), SCCmec type III (27.3%) and IMP types (23.8%), respectively.The review of the AMR literature (years 2001 to 2019) was performed using search engines such as PubMed, Scopus, Science Direct, Google and Web of Science. The search terms included \u2018antimicrobial resistance and human-animal-environment\u2019, \u2018antimicrobial resistance, risk factors, genetic diversity, and human-animal-environment\u2019 combined with respective countries of East Africa. In general, the risk factors identified were associated with the transmission of AMR. The marked genetic diversity due to multiple sequence types among drug-resistant bacteria and their replicon plasmid types sourced from the animal, human and environment were reported. The main ESBL, MRSA and carbapenem related genes/plasmids were the The high diversity of the AMR genes suggests there may be multiple sources of resistance bacteria, or the possible exchange of strains or a flow of genes amongst different strains due to transfer by mobile genetic elements. Therefore, there should be harmonized One Health guidelines for the use of antibiotics, as well as regulations governing their importation and sale. Moreover, the trend of ESBLs, MRSA and carbapenem resistant (CAR) carriage rates is dynamic and are on rise over time period, posing a public health concern in East Africa. Collaborative surveillance of AMR in partnership with regional and external institutions using an integrated One Health approach is required for expert knowledge and technology transfer to facilitate information sharing for informed decision-making. Staphylococcus aureus (MRSA) and extended spectrum beta-lactamase (ESBL)-producers. For instance, MDR invasive non-typhoidal Salmonella (iNTS) disease poses a major challenge to the clinical management of infections in resource-limited settings especially as alternative more effective antibiotics remain either unaffordable or simply unavailable for majority of patients , ESBL and MRSA , ESBL (13.1%), and MRSA (24.25%) were reported in studies conducted from 2013 to 2016, 2009\u20132012, and 2013\u20132016 respectively. The rise of ESBL, CAR, and MRSA carriage rates in East Africa pose a threat to public health particularly in the geographical areas where the rates are very high. A limitation of this analysis is the fact that these data were collected from unlinked cross-sectional studies conducted in different geographical areas in East Africa; consequently, some important information may have been missed.Figure\u00a0The genetic diversity at antibiotic resistance loci could determine a population\u2019s capacity to cope with future challenges of the antimicrobial drugs used for infection control . The genThe high MRSA carriage rates among patients and health workers in the East Africa is a concern given poor infection prevention and control measures in our settings . In KenyE. coli in humans, animals and their environments are conducted by postgraduate students of the SACIDS Foundation for One Health at the Sokoine University of Agriculture and Muhimbili University of Health and Allied Sciences in Tanzania. This work is attempting to understand the transmission dynamics of AMR genes and their virulence [The World Health Organization, the Food and Agriculture Organization of the United Nations and the World Organization for Animal Health has advocated for a holistic and multisectoral approach to address the AMR problem. This has been strengthened by the collaboration of regional consortia involving local and regional academic and research institutions in Africa, and a joint dedication of efforts to fight against infectious diseases in animals, humans and their environments. Regional consortia such as the SACIDS Foundation for One Health in collaboration with the London School of Hygiene and Tropical Medicine, London International Development Centre, Royal Veterinary College, Chatham House of the Royal Institute of International Affairs in the United Kingdom and the American Society of Microbiology of the United States, have partnered to address AMR problem through research and training. Strategically, surveillance is being supported by phenotypic and genomic data, to understand the flow of resistomes across human, animal and environmental compartments. For instance, research programs focused on genomic epidemiology of ESBLs producing irulence , and wilThe implementation of effective and sustainable AMR surveillance programmes in Africa is hampered by a lack of infrastructure and other resources required to perform optimal surveillance . Most laThe high genotypic diversity of the AMR genes among the bacterial isolates might suggest possible exchange of strains or a flow of genes among different strains due to transfer by mobile genetic elements or multiple sources of resistance bacteria. Such levels of diversity prompt the calling for immediate interventions, including guidelines concerning antibiotics use and regulations governing their importation and sale. However, antibiotic use and regulation is likely to be a very complex system because other factors such as cultural and ecological conditions favour transmission of bacteria. There is a high likelihood that people will have AMR bacteria irrespective of how antibiotics are used. Therefore, control strategies against AMR need to be tailored, beyond antibiotic use and availability, to local practices that affect bacterial transmission. Moreover, the trend of ESBL, MRSA and CAR carriage rates is dynamic and are on rise over time period, posing a public health concern in East Africa. In addition to that, phenotypic and genotypic drivers of AMR should be investigated within an integrated One Health framework. Such investigations will inform transmission dynamics of resistomes across compartments, and facilitate information sharing for informed decision making; ultimately, reducing the spread of AMR genes in bacteria. Further, the application of advanced techniques such as whole genome sequencing for detection of AMR could cut a bridge between clinical research and care, so that case management and treatment decisions can be informed and personalised."}
+{"text": "Cells show an impressive range on the pathophysiological relevance of ROS and RNS, including the relevance of second messengers of free radicals like 4-hydroxynonenal, allowing us to assume that the future will reveal even more detailed mechanisms of their positive and negative effects that might improve the monitoring of major modern diseases, and aid the development of advanced integrative biomedical treatments. Our common knowledge on oxidative stress has evolved substantially over the years, being focused mostly on the fundamental chemical reactions and the most relevant chemical species involved in human pathophysiology of oxidative stress-associated diseases. Thus, reactive oxygen species and reactive nitrogen species (ROS and RNS) were identified as key players in initiating, mediating, and regulating the cellular and biochemical complexity of oxidative stress either as physiological (acting pro-hormetic) or as pathogenic (causing destructive vicious circles) processes. The papers published in this particular Special Issue of Cells is to cover broad aspects of these important scientific areas, still focusing on the cellular level. However, since many disorders are based on altered cellular functions involving interactions of reactive oxygen species (ROS) and reactive nitrogen species (RNS) with macromolecules, in this Special Issue we also try to tackle physiological and pathological aspects of cellular ROS and RNS related to specific cellular processes affecting the entire organism.For decades, free radicals were mostly considered as harmful molecules that contribute to the toxic, mutagenic, and carcinogenic bioactivities of different chemical and physical stressors. However, after hydrogen peroxide and nitric oxide were found to have multiple, often cell-type and dose-dependent effects, the new era of interdisciplinary molecular biosciences and translation medicine made significant progress in studies on the pathophysiology of oxidative stress and associated disorders. Therefore, the major goal of this Special Issue of .), known for its ability to damage almost any biomolecule, induce lipid peroxidation, and cause DNA strand breaks i) and the secretion of vonWillebrand factor (vWF) in human umbilical vein endothelial cells (HUVECs), and on the relaxation of rat aorta in response to histamine. They found that VAS2870 attenuated histamine-induced secretion of vWF, although it did not inhibit its basal secretion. However, VAS2870 did not change the degree of histamine-induced relaxation of rat aortic rings constricted by norepinephrine. In accordance, the authors suggest that NOX inhibitors might be useful as a tool for preventing deep vein thrombosis induced by histamine release from mast cells without affecting vasorelaxation, which, of course, requires intense additional studies, both in vitro and in vivo.The association of inflammatory factors, such as histamine, and the onset of oxidative stress affecting the blood vessels was studied by P. Avdonin et al. . In partThe association between oxidative stress and the functional activities of blood vessels is usually addressed in terms of tackling the onset and progression of atherosclerosis. Therefore, S. Fiorelli et al. analyzed the oxidative stress from the aspects of the Nrf2/HO-1 axis in monocyte-derived macrophages (MDMs) obtained from healthy subjects and from patients with coronary artery disease (CAD), in relation to coronary plaque features evaluated in vivo by optical coherence tomography (OCT) . They fo2+ imbalance and mitochondrial membrane depolarization was attenuated by IH, which also reduced the I/R-induced Ca2+ overload. Moreover, IH increased the expression of superoxide dismutase (SOD), notably of Cu/Zn SOD and Mn SOD, the total antioxidant capacity, and the activity of catalase, suggesting that IH may indeed protect the cardiomyocytes against H2O2- and I/R-induced oxidative stress, maintaining Ca2+ homeostasis as well as the mitochondrial membrane potential and upregulation of antioxidant enzymes.The frequent consequences of atherosclerotic changes affecting coronary blood vessels are ischemia and reperfusion of the heart, i.e., induced oxidative stress of the cardiac muscle cells. However, there are indices suggesting that short-term intermittent hypoxia (IH), similar to ischemia preconditioning, could be beneficiary, and even cardioprotective. This phenomenon was focused on in the research produced by K.T. Young\u2019s group . Aiming Cells deals with novel and challenging topic of oxidative stress modulation as an option to regulate the healing of soft-tissue wounds or even bone fractures [The last paper of this Special Issue of ractures . Thus, Eractures . The autractures . Thus, tractures . In the ractures . Cells show an impressive range on the pathophysiological relevance of ROS and RNS, including the relevance of second messengers of free radicals like 4-HNE, allowing us to assume that the future will reveal even more detailed mechanisms of their positive and negative effects that might improve the monitoring of major modern diseases and the development of advanced integrative biomedicine treatments. Observed together, the papers published in this particular Special Issue of"}
+{"text": "Sodium hyaluronate eye drops are frequently prescribed for dry eye disease in South Korea.This study analyzed the trends in the utilization of sodium hyaluronate eye drops and evaluate the impact of the introduction of high-priced disposable forms in the South Korean market.The yearly claims data for sodium hyaluronate eye drops from 2002 to 2015 were retrieved from the National Health Insurance Service-National Sample Cohort. Prescriptions of sodium hyaluronate eye drops were sorted by the characteristics of patients and health care institutions.The number of prescriptions has continuously increased and the share of disposable forms in total prescriptions reached 37% in 2015. Particularly, the prevalence of prescriptions has increased during the study period from 2,562/100,000 persons in 2002 to 14,732/100,000 persons in 2015, while the incidence of prescriptions (new users) has remained steady during the study period, approximately 3,500/100,000 persons. More female patients were noted in terms of general users and new users, and the proportion of male patients was higher in new users than in general users. The average age of general users increased during the study period, while that of new users slightly decreased. Finally, the distribution of prescription category was significantly different between sex and age groups in frequently prescribed users.Eye drops in disposable forms, which are safe and more convenient to use, have expanded the market in South Korea and caused equity issues in utilization. Thus, the utilization of eye drops should be closely monitored from the perspectives health equity. Dry eye disease (DED) is the most common ocular disease causing patients to visit ophthalmology clinics . DED is The management of DED is complicated due to the multifactorial characteristics of DED, and the aim of DED management is to restore the homeostasis of the ocular surface and tear film . Thus, aIn South Korea, sodium hyaluronate eye drops are prescribed for patients with corneal epithelial disorders caused by endogenous and exogenous diseases and are reimbursed under the National Health Insurance Services (NHIS). Endogenous diseases include Sj\u00f6gren's syndrome, cutaneous mucosal syndrome (Steven-Jones syndrome), and dry eye syndrome, while exogenous diseases are caused by surgery, chemicals (including drugs), or the wearing of contact lenses. The majority of these patients are prescribed eye drops for dry eye syndrome . CurrentOphthalmic preservatives have been recognized as a risk factor for corneal and conjunctival inflammation, indicating that preservative-free eye drops reduce iatrogenic dry eye . Thus, cThis study has two aims. First, we will analyze the trends in the utilization of sodium hyaluronate eye drops in South Korea from a large-scale population-based dataset. With this analysis, we could approximate the prevalence of DED in South Korea. Second, we will evaluate the impact of the introduction of high-priced disposable forms in the South Korean market from the perspective of health financing and equity in utilization. To this end, we will analyze prescriptions including sodium hyaluronate eye drops, patients who were prescribed medicines, and health-care institutions prescribing medicines to understand for whom, under what conditions, and how eye drops in disposable forms are prescribed.The National Health Insurance Service-National Sample Cohort (NHIS-NSC), a population-based cohort established by the NHIS, was used for this study . The NHIThe NHIS-NSC consists of four databases, including information on participants and their medical treatments and health examination, and information on health-care institutions, for the period from January 2002 to December 2015. The database on participants includes demographic and socioeconomic characteristics of participants, such as the age, sex, level of income, and types of health insurance. The database on medical treatments covers prescriptions, such as the date and duration of the prescription, the prescribed drug's international nonproprietary name, the dosage, and the prescribing health-care institution. The database on health-care institutions includes types and locations of health-care institutions.Currently, two types of eye drops are available on the market: disposable and multiuse forms. Disposable eye drops were defined as medicines with packing specifications less than 1 ml without the presence of ophthalmic preservatives, while multiuse forms were defined as medicines with packing specifications greater than 1 ml with the presence of ophthalmic preservatives. With these definitions, separated information on prescriptions, patients, and health-care institutions was obtained. Additionally, frequently prescribed users were categorized into two groups: the disposable user group and the multiuse form user group.Descriptive statistics were used to examine the characteristics of prescriptions, patients , and health-care institutions. At the patient level, information on the sociodemographic characteristics of the patients, including sex, age, and types of health insurance, were collected. Types of health insurance included the NHIS for the population and the Medical Aid Program for low-income household. Members of the NHIS were categorized into two types: self-employee and the employee. In South Korea, the premium that the member of NHIS pay are calculated based on their income and assets. Thus, the premium was used to proxy their income level, and separated into quintiles. The first quintile indicates the lowest income, while the fifth quintile indicates the highest income.At the health-care institution level, information on the location and type of institution were obtained. First, the location was divided into several regions based on the administrative district. In the end, four regions were created, including Seoul, metropolitan excluding Seoul, city excluding metropolitan, and rural. Second, the health-care institutions were categorized as primary-, secondary-, tertiary-, and quaternary-care institutions : primaryA deidentified secondary dataset was used for this study, indicating that the study was exempted from review by the Institutional Review Board (IRB) of Ewha Woman's University (IRB No ewha-201903-0005-01).No patients were involved in developing or conducting the research. Thus, the dissemination of the results of the research directly to the eligible participants is not required.The proportion of category IV users (or disposable users) has increased, while that of category I users (or multiuse form users) has decreased during the study period. The proportion of disposable user and multiuse form users in 2013 was 27% and 57%, respectively, indicating that the number of multiuse form users was still higher than that of disposable users among frequently prescribed users. Then, frequently prescribed users in 2005 and 2010 were selected to examine the odds ratio between demographic variables and prescription categories. In this study, we evaluated the trends in the utilization of sodium hyaluronate eye drops in South Korea from a large-scale population-based dataset and analyzed prescriptions, patients, and health-care institutions, which were separated by disposable and multiuse forms, to discuss the impact of the introduction of expensive disposable forms from the perspective of health financing and equity in utilization.et al. (2014) reported that the overall prevalence of DED diagnosis and the prevalence of dry eye symptoms in South Korea were 8 and 14.4%, respectively, in 2010\u201311 USD and 1.7 million (65%) USD for multiuse and disposable forms, respectively. Furthermore, the proportion of disposable users among frequently prescribed users is increasing, indicating that the utilization of disposable forms might be an additional burden for the insurer from the perspective of health financing. For instance, the proportion of expenditure for sodium hyaluronate eye drops in total benefits, including medical service and prescription drugs, increased from 0.06% in 2002 to 0.34% in 2015. Thus, understanding for whom, under what conditions, and how eye drops in disposable forms are prescribed is essential to address their impacts on health financing.Furthermore, introducing disposable forms of eye drops caused equity issue in utilization. In this study, we demonstrated that sex and age of users were associated with utilizing eye drops in disposable forms. Particularly, female users and users under 30 years old (reference more than 60 years old) are more likely to be prescribed eye drops in disposable forms. DED is closely related to wearing contact lenses and eye makeup , which aSodium hyaluronate eye drops are prescription drugs that should be prescribed at health-care institutions. In this study, we found that the majority of eye drops (approximately 90%) were prescribed by primary-care institutions, indicating that DED was the most common disease causing patients to visit ophthalmology clinics. Furthermore, we found that the proportion of the prescription of disposable forms and their speed of adoption were different among various types of institutions. For instance, the proportion of the prescription of disposable forms was in the order of quaternary- tertiary-, secondary-, and primary-care institutions, which might imply that physicians at quaternary-care institutions were more likely to prescribe eye drops in the disposable form to their patients, including patients with glaucoma and patients who need multiple eye drops. However, note that the number of total prescriptions involving disposable and multiuse forms from quaternary-care institutions is much less than that of prescriptions from primary-care institutions, where the majority of eye drops are prescribed. Thus, the total impact of the introduction of disposable forms on health financing is greater in primary-care institutions.We also found an interesting result in variance among four regions, including Seoul, metropolitan excluding Seoul, city, and rural area, for the prescription of disposable forms. The proportion of the four regions in prescriptions involving the disposable form was in the order of Seoul (38%), rural (26%), city (20%), and metropolitan excluding Seoul (15%) in 2004. However, the proportion of the Seoul area slightly decreased, while that of the rural area slightly increased during the study period. Finally, the proportion of the four regions in prescriptions involving the disposable form were converged to 25% in 2015. Similarly, we presented the proportion of disposable forms in the total prescriptions for the publication of any potentially identifiable images or data included in this article.K-BS developed the concept of the paper, undertook the analysis, and wrote the manuscript.The author disclosed receipt of the following financial support for the research, authorship, and/or publication of this article: This work was supported by Taejoon Pharmaceutical Co., LTD. However, the funding source was not involved in the study design, collection, analysis and interpretation of data, writing of the report, and the decision to submit the article for publication.The author declares that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Dirofilaria (Nochtiella) repens and Candidatus Dirofilaria (Nochtiella) Honkongensis Provide Evidence for Presence of Cryptic Species. The title contains spelling errors and should be corrected to: The Mitochondrial Genomes of the Zoonotic Canine Filarial Parasites Dirofilaria (Nochtiella) repens and Candidatus Dirofilaria (Nochtiella) hongkongensis Provide Evidence for Presence of Cryptic Species.The title currently is The Mitochondrial Genomes of the Zoonotic Canine Filarial Parasites th author, Tran Anh Le, is currently Department of Parasitology, Viet Nam Veterinary Medical University, Ha Noi, Viet Nam. The correct affiliation of the 10th author, Tran Anh Le, is Department of Parasitology, Vietnam Military Medical University, Hanoi, Vietnam.The affiliation of the 10In the manuscript, there is reference to canine blood samples used to amplify partial mitochondrial DNA sequences of the putative species Dirofilaria sp. \"Thailand II\". This is incorrect. It should be noted that the samples came from cats and not dogs."}
+{"text": "Most of these applications are still at an early stage of development and have technological challenges and a lack of fundamental comprehension. Furthermore, the functional memristive properties of TiO2 thin films are heavily dependent on their processing methods, including the synthesis, fabrication, and post-fabrication treatment. Here, we outline and summarize the key milestone achievements, recent advances, and challenges related to the synthesis, technology, and applications of memristive TiO2. Following a brief introduction, we provide an overview of the major areas of application of TiO2-based memristive devices and discuss their synthesis, fabrication, and post-fabrication processing, as well as their functional properties.Titanium dioxide (TiO Owing to an appropriate combination of physical and chemical properties, environmental compatibility, and low production cost, polycrystalline TiO2 has found a large variety of applications and is considered to be a promising material for future technologies. One of the most distinctive physical properties of this material is its high photocatalytic activity , biohybrid systems, and sensors, as schematically shown in 2-based memristors. A special focus is placed on the relationships between the synthesis and deposition methods, the effects of post-synthesis treatment, and the resistive switching properties.Currently, the development of TiO2 . Alternatively, TiO2 thin films may serve as an interface material in various biohybrid devices. The bio- and neurocompatibility of a TiO2 film has been demonstrated in terms of its excellent adsorption of polylysine and primary neuronal cultures, high vitality, and electrophysiological activity capacitors the synthesis of a nanostructured material, (ii) deposition of the functional layer, (iii) arrangement of the electrodes, and (iv) post-processing annealing at an elevated temperature under a suitable atmosphere. The first stage is required for traditional chemical synthesis routes, while the first two stages take place at the same time for physical deposition methods.The fabrication of a TiOVT), retention time, switching time, and the resistive switching ratio (ROFF/RON). The main technological, topological, and exploitative characteristics of typical memristive devices are summarized in The choice of fabrication route is thus a trade-off in complexity, cost, scalability, desirable topology , threshold electroforming voltage , the solvent type, and the temperature or TiCl4 have been used as precursors have also been reported have been demonstrated . In these methods, Ti-based precursors are decomposed in the presence of an oxidizer gas mixtures under vacuum (Schmidt et al., 2 thin films that have often been addressed as prototype oxide memristors for many research applications. Numerous recent achievements highlighted in this mini-review demonstrate the rapid development of TiO2-based memristors in various application fields, while the growing interest in these devices is seemingly far from saturation.The current renaissance of the resistive switching phenomenon over the last 12 years has been intimately associated with studies on TiO2 memristors have been outlined in several previous reviews and remain essentially unsolved. Technologically, the emerging properties of memristive systems concern the operational stochasticity, number of distinguishable states, switching energy, switching speed, endurance, retention, and feature size. Their relationship in various types of modern memristive systems has been comprehensively addressed in a recent topical review (Zhang et al., 2 polymorphs (Scanlon et al., 2 memristors by choosing appropriate electrodes and an appropriate operating voltage regime or by affecting the phase ratio, defect structure, and microstructure of the synthesized materials using post-processing annealing under ambient or inert atmospheres (Goren et al., 2. Meanwhile, only a few studies have systematically addressed the effect of thermal annealing at reduced oxygen partial pressures on the resistive and resistive switching properties of TiO2 thin films (Lai et al., The major challenges of TiO2-based memristors, we can expect an increasingly large role of chemical approaches to device fabrication, lowering of the production costs, rapid development of neuromorphic computing systems, and further convergence of artificial electronic neurons with biological cells based on TiO2 thin films.In view of the current trends and challenges of TiOAll authors listed have made a substantial, direct and intellectual contribution to the work, and approved it for publication.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "In recent years the popularity and application of both research- and consumer-grade wearable physical (PA) activity monitors have witnessed substantial growth in large observational studies and clinical trials. For example, the NHANES and UKBiobank, have collected accelerometry data on thousands of participants contributing to the reputation of wearable technology overall as well as in aging-oriented research. As a result, more aging-focused studies including the Baltimore Longitudinal Study of Aging, Maastricht Study, Finnish Retirement and Aging study, and the National Health and Aging Trends Study, along with clinical trials have introduced accelerometry protocols into their design. The symposium focuses on challenges in the implementation of the objective measurements of PA into large studies on older adults. We will discuss the design of successful projects held and/or completed in the United States and Europe including: (1) types of devices, (2) size of datasets, (3) steps necessary for the successful device implementation, (4) data management and (5) statistical analyses. We will also present primary, PA-related findings in each study, together with funded or planned follow-up work. Collectively, these presentations will improve understanding of the technology and effort necessary for the successful application of objective PA monitoring and the resulting data analysis, providing a better context for investigators in the field of aging who want to introduce wearable devices into existing and upcoming research. The discussion will focus on the future of these technologies in the context of geriatric medicine and gerontology and the consequent steps essential for their best utilization and further expansion."}
+{"text": "Incorporating geographic information science and technology (GIS&T) into COVID-19 pandemic surveillance, modeling, and response enhances understanding and control of the disease. Applications of GIS&T include 1) developing spatial data infrastructures for surveillance and data sharing, 2) incorporating mobility data in infectious disease forecasting, 3) using geospatial technologies for digital contact tracing, 4) integrating geographic data in COVID-19 modeling, 5) investigating geographic social vulnerabilities and health disparities, and 6) communicating the status of the disease or status of facilities for return-to-normal operations. Locations and availability of personal protective equipment, ventilators, hospital beds, and other items can be optimized with the use of GIS&T. Challenges include protection of individual privacy and civil liberties and closer collaboration among the fields of geography, medicine, public health, and public policy. Incorporating geographic information science and technology (GIS&T) into COVID-19 pandemic surveillance, modeling, and response enhances understanding and control of the disease.Applications of GIS&T include developing spatial data infrastructures for surveillance and data sharing, incorporating mobility data in infectious disease forecasting, using geospatial technologies for digital contact tracing, integrating geographic data in COVID-19 modeling, investigating geographic social vulnerabilities and health disparities, and communicating the status of the disease or status of facilities for return-to-normal operations.Protections for individual privacy and close collaboration among the fields of geography, medicine, public health, and public policy to use GIS&T are imperative.The spread of infectious disease is inherently a spatial process; therefore, geospatial data, technologies, and analytical methods play a critical role in understanding and responding to the coronavirus disease 2019 (COVID-19) pandemic. Geographic information science and technology (GIS&T) is the academic field centered on geospatial data and analysis. The field encompasses geographic information systems (GIS), spatial statistics and visualization, and location-based data derived from global navigation satellite systems and remotely sensed imagery. Opportunities for incorporating GIS&T into COVID-19 pandemic surveillance, modeling, and response include 1) developing spatial data infrastructures (SDI) for surveillance and data sharing, 2) incorporating mobility data in infectious disease forecasting, 3) using geospatial technologies for digital contact tracing, 4) integrating geographic data in COVID-19 modeling, 5) investigating geographic health disparities and social vulnerabilities, and 6) communicating the status of the disease or status of facilities for return-to-normal operations. Locations and availability of personal protective equipment, ventilators, hospital beds, and other items can be optimized with the use of GIS&T.Current surveillance of COVID-19 at the national and global levels is built on lessons learned from maintaining previously developed databases of contamination and disease, such as FluNet . The assAn important aspect of monitoring the spread of infectious disease is spatial data infrastructure (SDI), composed of the human resources and institutions that create and maintain the foundation to which additional spatial data can be attached and used. Key components of an SDI include geospatial culture and awareness, resources for information and communications technology, common standards for data integration and interoperability, a legal framework for data security and privacy, a common lexicon, the use of robust statistical and epidemiological methods, and interdisciplinary collaboration and partnerships . Along wMaps play a key role in communicating the risks and spread of COVID-19 . InteracThe GIS&T community has long worked toward development of the National Spatial Data Infrastructure (NSDI) for the United States , an effoAlong with handwashing and social distancing, perhaps the foremost mitigation strategy for reducing person-to-person contact and transmission of severe acute respiratory syndrome coronavirus 2 (SARS-CoV-2) in the absence of pharmaceutical intervention is regulation restricting mobility . Consequently, one key role for geospatial technologies in responding to the COVID-19 pandemic is monitoring population distribution and mobility through the use of social media and location-tracking applications embedded in mobile telephones that employ GNSS, cell phone tower connections, and/or wireless connections .Modeling population distribution and mobility has a long history in GIS&T and focuses on fine-scale estimations of population distribution and mobility ,12, mostMonitoring mobility at the individual level, in addition to the population level, has also emerged as an important use of geospatial technologies, particularly in its application to digital contact tracing. Conventional contact tracing, involving identifying, contacting, and encouraging quarantine for the people with whom an infected person has had close contact to mitigate disease transmission, is labor intensive. The process can be made more efficient and scaled up to large populations by exploiting individual digital mobility data, as well as data indicating proximity among mobile telephones using Bluetooth or related technologies, to computationally show close proximity among individuals . Such loAdvances in GIS&T have been made in modeling the geographic trajectories of individuals throughout their daily lives, their interactions with other people, and their immediate environment using geographic and computational constructs such as activity space and space\u2013time prisms \u201320. HoweA strength of GIS is the ability to integrate diverse spatial data sets based on georeferencing, facilitating the integration of health data with contextual characteristics. Descriptive modeling research that leverages this capability has examined the spatial associations of COVID-19 with socioeconomic and environmental characteristics. This research found, for example, that lower income and income inequality , higher Computational infectious disease models are widely used to predict or forecast the spread of COVID-19 disease and the effects of intervention strategies. Predictive modeling approaches can be generally categorized as SEIR/SIR , agent-bSpatial transportation and mobility data can play an important role in forecasting disease prevalence, where, for example, the effect of nonpharmaceutical interventions on city-level transmission of COVID-19 in China was analyzed using mobility data harvested from mobile telephone location-based services. This method allows one to parameterize the local contact rate and forecast the geographic distribution of disease prevalence under different intervention timing scenarios . RelatedIndices of social vulnerability are place-based variables that incorporate factors such as race/ethnicity and socioeconomic status to encode the vulnerability to adverse health outcomes and other types of hazards . CommuniResources for investigating COVID-19-related social disparities include publicly available data on COVID-19 cases by small areas, such as zip codes , althougThe multidimensional social, economic, and health consequences of the COVID-19 pandemic are geographically inequitable: some places and populations have greater social, economic, health and other effects than other places and populations. Beyond the need to identify such factors as lack of access to resources or the prevalence of pre-existing health conditions is the need to recognize and understand the mechanisms of vulnerability that have been in place and led to the exacerbation of the COVID-19 crisis in some communities. Community recovery from the COVID-19 pandemic requires incorporation of social, economic, and health components and an emphasis on investigating how place shapes the uneven effect of COVID-19.www.ucgis.org/covid-19-resources), the OGC (www.ogc.org/resources-for-COVID-19-from-ogc), and the National Alliance for Public Safety GIS Foundation (www.napsgfoundation.org/resources/covid-19).We have outlined how GIS&T can be used for understanding and responding to the COVID-19 pandemic and future infectious disease epidemics and pandemics. Central to this understanding and response is a commitment for the use of GIS and geospatial technologies as the platform for collecting, integrating, and analyzing georeferenced data on the locations and characteristics of individuals and the spatial distribution of socioeconomic, health, and built and natural environmental characteristics. Geospatial resources for COVID-19 response are available through several organizations, including the University Consortium for Geographic Information Science (Leveraging GIS&T for responding to the COVID-19 pandemic requires a close and extensive collaboration between researchers in the fields of geography, medicine, public health, and public policy. The field of GIS&T has a long history of research in data synthesis, statistical modeling, and computational simulation for spatial data and applications. Recognizing that GIS&T is a theoretical and scientific approach rather than simply a set of analytical tools will facilitate transdisciplinary collaboration. Advances in preserving individual privacy and civil liberties in the age of big spatial data, where geospatial technologies generate massive repositories of individual-level data on movement, health, and behavior widely available, are also necessary. These advances will likely require enhanced government regulations, corporate policies, and technological innovations in data sharing and privacy protection.The COVID-19 pandemic is still in the beginning phase, and the research community is continuing to learn and revise the best way to respond to this global public health crisis. Geospatial data, methods, and technologies have a crucial role to play in understanding and responding to the pandemic, and the lessons learned on the use of GIS&T for pandemic response at this time should enhance preparedness and response for future public health crises."}
+{"text": "The burden of substance use disorders in sub-Saharan Africa has been projected to increase by an estimated 130% by 2050. Despite this, little is known about the substance use disorder treatment and prevention systems in the region.The objective of this review is to describe the public sector substance use disorder treatment and prevention systems in Kenya guided by the World Health Organization health systems framework model, with the aim of informing decision-making.We reviewed official government documents obtained from hand-searching the websites of relevant governmental organizations including: Ministry of Health, National Authority for the Campaign Against Alcohol and Drug Abuse, Parliament of Kenya, Ministry of Treasury & National Planning, National Law Reporting Council, Kenya National Bureau of Statistics, the National Non-Governmental Organization (NGO) Coordination Board and the 47 County Governments. We augmented those searches with official documents that the authors were aware of by virtue of being practitioners in the field. Draft and retired documents were excluded. The findings of the search are presented as a narrative review.Mental Health Act 1989, the main legislative framework governing substance use disorder treatment and prevention, focuses on institutional care only. While there are only three public health facilities offering substance use disorder treatment in Kenya, several non-public sector actors are involved in SUD treatment and prevention activities. Unfortunately, there is limited cross-sector collaboration. The Ministry of Health has no specific budget for substance use disorder treatment and prevention, while the National Authority for the Campaign Against Alcohol and Drug Abuse has an annual resource gap of about US$ 5,000,000. The substance use disorder workforce in Kenya has not been characterized.The Mental Health (Amendment) bill 2018. (2) Integration of substance use disorder treatment and prevention into primary health care to increase access to care. (3) Utilization of money from taxation of alcohol, tobacco and betting to increase funding for substance use disorder treatment and prevention. (4) Characterization of the substance use disorder workforce to inform planning. (5) Enhanced collaboration between the government and non-state actors in order to increase access to SUD treatment and prevention.We propose five key strategies for strengthening substance use disorder treatment and prevention systems in Kenya including: (1) Enactment of the The burden of substance use disorders (SUDs) in sub-Saharan Africa has been projected to increase by an estimated 130% by 2050 . In AfriThe World Health Organization (WHO) defines health systems strengthening as the process of improving the six health system building blocks namely service delivery, workforce, health information, medical products, financing and governance in order to achieve optimal health outcomes . A well-Mental Health Act 1989 [Unfortunately, the existing SUD treatment and prevention systems in Kenya are inadequate. The main legislative framework governing SUD treatment and prevention, the Act 1989 is outdaAct 1989 . MoreoveAct 1989 , 16 (ii)Act 1989 , and tarAct 1989 .Since our aim was to describe the public sector SUD treatment and prevention systems, we reviewed official government documents. We hand-searched the websites of relevant governmental organizations for documents and web pages that had content on SUD treatment and prevention. The organizations whose websites were searched include: MOH, National Authority for the Campaign against Alcohol and Drug Abuse (NACADA), Parliament of Kenya, National Council for Law Reporting, Kenya National Bureau of Statistics (KNBS), National Non-Governmental Organization (NGO) Coordination Board, each of the 47 County Governments.The Vision 2030 , Kenya\u2019sMental Health Act, 1989 [Constitution of Kenya, 2010 which devolves health functions to the county governments [Mental Health Act, 1989 [Unfortunately, the ct, 1989 which prct, 1989 . Moreovect, 1989 however ct, 1989 .Mental Health (Amendment) Bill, 2018 [Mental Health Act, 1989 [Constitution of Kenya, 2010 [The proposed ll, 2018 , currentct, 1989 . In addrMental Health (Amendment) Bill, 2018 [Importantly, this bill is aligned with Vision 2030 , and guill, 2018 will theMental Health Act 1989, several other laws contain provisions that seek to address SUD treatment and prevention in Kenya. The Health Act, 2017 [,The Tobacco Control Act, 2007 [, The Alcoholic Drinks control Act, 2010 [and The Narcotic Drugs & Psychotropic Substances (Control) Act, 1994 [Other than the ct, 2017 ,The Tobact, 2007 , The Alcct, 1994 all mandThe Alcoholic Drinks Control Act, 2010 [and the Narcotic Drugs & Psychotropic Substances, Act 1994 [Narcotic Drugs & Psychotropic Substances Act, 1994 [Alcoholic Drinks Control Act 2010 [Act 1994 specificct, 1994 providesAct 2010 , 60.Alcoholic Drinks Control Act 2010 [and the Narcotic Drugs & Psychotropic Substances Act 1994 [Unfortunately, The Act 1994 mandate Act 1994 . In a joAct 1994 . This haWorkplace policies on SUD treatment and prevention are an integral part of SUD management at the institutional level and are an International Labor Organization (ILO) requirement . Such poSUD treatment and prevention services are delivered within the health sector by the MOH, and the County Government Departments of Health; and outside the health sector by the NACADA and various County Government Departments.The key responsibilities of the MOH include developing health policies, managing five national referral health facilities as well as oversight of service delivery at the County level. The County Departments of Health are in turn tasked with the delivery of facility and community based health care at the county level, and report to the MOH . In realThe health sector SUD services however remain scarce and inaccessible. Out of 5800 health facilities run by the MOH and County Departments of Health in Kenya, only three offer SUD rehabilitation services and all are located in urban centers . FurtherThe NACADA is a State Corporation in the Ministry of Interior and Coordination of National Government. Its role centers on SUD prevention . The NACIn the 2019/2020 financial year, 70% of the Counties had their SUD programs under various departments including Public administration, Education, Social services and Youth empowerment Capacity building of faith based organizations, community based organizations and mutual self-help groups by the government in order to make them potential means for SUD treatment and prevention at the grassroots level. (ii) Accreditation of private SUD treatment facilities by the National Hospital Insurance Fund (NHIF) to increase access to specialized SUD treatment. Currently, only three private rehabilitation facilities are accredited .The MOH had no specific budgetary allocation for SUD treatment and prevention . At the The cost of interventions for alcohol use disorders has been estimated and could serve as a guide during planning. For example, public awareness campaigns to prevent harmful alcohol use have been approximated to cost US$ 0.2\u20130.8 per person in the population per annum, and that of brief interventions offered within the health sector US$ 0.4\u20131.8 per person in the population per annum . StrategGlobally, the SUD treatment and prevention workforce is diverse comprising of peers, teachers, counselors, social workers and nurses , 70. CerKenya has a number of sources of information on substance use that could inform interventions. The KNBS in collaboration with various stakeholders conducts several national household surveys. The Kenya Demographic Health Survey collects data on the patterns of alcohol consumption among other health indicators and has been conducted twice so far (in 2003 and 2014) . The GloThe MOH through its health sector indicator manual providesThe WHO recommends that at the minimum, health systems must have nicotine replacement therapy and methadone for the management of SUDs . The KenA limitation of this review is that it describes the SUD treatment and prevention systems in Kenya based on documents and information that was available online. Information unavailable on the internet such as some County government budgets and implementation levels of planned programs was therefore missed out. A future study obtaining data from key informant interviews and review of hard copies of government documents, and guided by a structured tool such as the World Health Organization-Assessment Instrument for Mental health Systems (WHO-AIMS) could prMental Health (Amendment) bill 2018. (2) Integration of substance use disorder treatment and prevention into primary health care to increase access to care. (3) Utilization of money from taxation of alcohol, tobacco and betting to increase funding for substance use disorder treatment and prevention. (4) Characterization of the substance use disorder workforce to inform planning. (5) Enhanced collaboration between the government and non-state actors in order to increase access to SUD treatment and prevention.The SUD treatment and prevention systems in Kenya are under-resourced. We propose five key strategies for strengthening SUD treatment and prevention systems in Kenya: (1) Enactment of the"}
+{"text": "The Support at Home pilot program provided financial support for the purchase of home care services by middle-income adults with disabilities in San Francisco to support aging in place. Enrollees had income below the area median and made copayments based on household income. The mixed-methods evaluation of the program incorporated administrative records, surveys of clients and comparison group members, surveys of unpaid caregivers, surveys of paid care providers, and focus groups with clients and unpaid caregivers. Outcome measures included the Older People\u2019s Quality of Life Questionnaire, Patient Health Questionnaire-2, an adapted Burden Scale for Family Caregivers, and self-reported falls, emergency department visits, and hospitalizations. Analyses included pre-post chi-squared and t-test comparisons between client and comparison groups and multivariate regressions. An economic analysis was conducted to learn whether changes in costs associated with reduced health care utilization were greater than the costs of the program. Results indicated statistically significant positive changes in client ratings of personal and financial stress, but not in the composite quality of life score. There were statistically significant reductions in attendance at medical appointments, falls, emergency department visits, and hospitalizations. Similar changes were not found in the comparison group. The focus group data supported the findings regarding personal and financial stress and indicated that clients and their caregivers perceived quality of life benefits. The economic analysis indicated substantial cost savings from the program due to reduced use of medical services. Due to its positive impacts, San Francisco has made Support at Home a permanent program."}
+{"text": "Current pathology practice is being shaped by the increasing complexity of modern medicine, in particular of precision oncology, and major technological advances. In the \u201cnext-generation technologies era\u201d, the pathologist has become the person responsible for the integration and interpretation of morphologic and molecular information and for the delivery of critical answers to diagnostic, prognostic and predictive queries, acquiring a prominent position in the molecular tumor boards. In 1953, Crick and Watson\u2019s discovery of the DNA double-helix , Giovanni Battista Morgagni placed anatomo-clinical correlations at the heart of modern medicine [The performance of autopsy has been widely recognized for several decades as a fundamental part of routine pathology practice. In 1761, with the publication of medicine . The lesmedicine .However, since the last decades of the twentieth century, the rate of autopsies has decreased significantly, due to increasing confidence in ante-mortem diagnosis, more complex legislations regarding human tissues procedures and also insufficient priority given to autopsies by pathologists themselves, burdened with increasing workloads of surgical resections, biopsies, and cytology .The declining autopsy rate should be a source of concern among the scientific community, given its great potential for the advancement of medical knowledge and improvement of clinical practice. As demonstrated by the COVID-19 experience, the post-mortem examination, together with state-of-the-art molecular diagnostics, plays a central role in the diagnosis and clinical management of newly emerging diseases .Current pathology practice is being shaped by the increasing complexity of modern medicine and major technological advances . In the However, traditional organ, tissue and cellular pathology lays the foundation for the development of molecular pathology and, as demonstrated by the on-going COVID-19 pandemic, still provides essential tools to greatly enhance clinical practice.Current practicing and future pathologists are called on to actively incorporate molecular knowledge into their diagnostic armamentarium and deeply transform laboratory frameworks and pathology educational training programs.We are facing an epochal evolution of the figure of the pathologist who must necessarily find fertile ground both in laboratories, thanks to economic availability and mental openness towards innovation, and also in the training programs of young pathologists. Studies aimed at new technologies will be a fundamental background for the pathologist\u2013in-training.Collaboration between different professional figures must acquire more and more importance in the context of the MTB. The first experiences of multidisciplinary teams in the molecular field are demonstrating how an integration between different knowledge in specialized fields such as clinical, molecular and surgical pathology and engineering can lead to an increasingly targeted therapy, to an increasingly personalized follow-up and a more precise cancer risk stratification."}
+{"text": "Many countries within the European Union report significant difficulties in retaining and recruiting healthcare workers and are facing increasing levels of predicted staff shortages over the long term summarize the accepted papers in this special issue and discuss how they relate to the concept of Healthy Healthcare; and (iii) to present a new research agenda, drawing on occupational health psychology research to further advance our understanding of the concept of Healthy Healthcare.This editorial, therefore, aims to: (i) introduce the concept of Healthy Healthcare\u201d refers to a new interdisciplinary system-based perspective of healthcare practices encompassing three main pillars: (1) quality of patient care; (2) worker health and well-being; and (3) the organization and practices of healthcare organizations. It recognizes that healthcare systems must be organized, managed, and financed in balance with the health and performance of available workers in mind can potentially disadvantage another pillar. Ultimately a system-based perspective considering the dynamics between the patient(s), the worker(s), and the complex healthcare system will lead to a more resource-efficient delivery of high-quality healthcare services.\u201cHealthy Healthcare. The inter-disciplinary nature of Healthy Healthcare aligns well with the discipline of occupational health psychology given that the latter is also inherently multidisciplinary and draws on occupational health and psychology as well as being inclusive of public health, human factors, organizational studies, economics, industrial engineering, and more the organization of healthcare; (ii) workers' health and well-being; and (iii) the quality of care provided.The complexity of a system-based perspective of Broetje et al.). It also includes two different two-wave longitudinal panel studies examining age-related factors among aging healthcare workers . There is a cross-sectional study investigating the relationship between job autonomy, self-leadership, work engagement, and health among healthcare workers , and a process-evaluation qualitative study among hospital executives about the key process factors in implementing health-related work design interventions . The issue also includes a qualitative study exploring the emerging psychosocial risks of healthcare accreditation in workplaces .In total, six papers were accepted. The special issue includes a systematic review examining the influence of psychosocial work characteristics in explaining the mental health of nursing staff for different types of healthcare practices and contexts among a variety of healthcare workers, but also includes insights about the interrelation of the main pillars from the perspective of current systems. This includes healthcare assistants, nursing workers, upper and middle managers within a hospital, different levels of seniority as well as different levels of organizational practices. Moreover, the research questions of these papers address diverse issues related to Healthy Healthcare through different theoretical frameworks such as the JD-R Model and theory , the full concept of Healthy Healthcare remains theoretically as well as empirically untested, and further research is needed to develop and examine the core concepts postulated by it. Emphasis needs to be placed on linking different antecedents of its three core pillars, including the mechanisms that explain these relationships to possible outcomes among patients, healthcare workers, and organizations. These will contribute to developing and refining the overarching theoretical model presented in Multilevel study designs. Occupational health researchers typically neglect the fact that relationships are situated within a wider context, with important factors at the organizational, sectoral, societal, and national level all influencing the three pillars of Healthy Healthcare .Van der Heijden et al.; de Lange et al.), gender, ethnicity, and immigrant workers . These potential interventions aim to ensure employee health and well-being can also give voice and provide insights on how individuals make sense of the healthcare system developing an overarching theory and concepts of Healthy Healthcare expanding our focus of well-being to include more positive manifestations; (vi) focusing on primary and organizational-level interventions; and (vii) embrac different research methodologies and paradigms.A system-based perspective is needed to address the challenges faced in healthcare and to increase the uptake of knowledge from occupational health psychology into healthcare. The All authors listed have made a substantial, direct and intellectual contribution to the work, and approved it for publication.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "The widely-cited failure within the Millennium Development Goals to adequately reduce infant deaths and reverse maternal health inequalities prompted incorporation of new goals in the 2016 UN Sustainable Development Goal (SDG) three to \u2018ensure healthy lives and promote well-being for all at all ages\u2019 . With amAnnually, the placental disorders of pregnancy are associated with 46,000 maternal and 2.5 million perinatal deaths [While placental disorders of pregnancy are well investigated in HICs, this is not so in LMICs. LMIC-based placental disorder research is under-represented in the global portfolio. Moreover, the pathways to disease within a resource-constrained setting in sub-Saharan Africa are likely to differ from pathways in HICs where much of the research has been conducted. For example, synergistic challenges of malnutrition, rural settings underserved by transport infrastructure and health facilities, high burdens of infectious diseases, and other adverse social determinants of health may contribute to pathways of disease in ways that are currently not captured by HIC research. Understanding the interactions between placental complications and contextual factors may provide a critical step towards the development of precision healthcare to optimise maternal, fetal and infant outcomes.The PRECISE Network is a new and interdisciplinary group of research scientists and health advocates from sub-Saharan Africa, Europe, Canada and the USA, that is investigating the origins and outcomes of the placental disorders in sub-Saharan Africa. Funded by the UK Research and Innovation Global Challenges Research Fund (GCRF), PRECISE aims to develop a robust clinic-based research infrastructure, database and biobank that will catalyse formative research describe the pathways to placental disorders and their complications in sub-Saharan Africa, and inform the design of effective interventions. Importantly, this programme will provide essential information about the impact of placental disorders on women\u2019s lives and their communities.The five papers in this supplement introduce the scientific scope and vision of this ambitious programme of work and describe the development of key components of PRECISE: the study protocol, clinical database, biorepository, qualitative work plans, and partnership and capacity-building elements. The first three papers describe the design of the prospective pregnancy cohort study and the research platform to collect epidemiological data and biological samples from approximately 10,000 pregnant Gambian, Kenyan and Mozambican women, 1500 of whom we anticipate will have a pregnancy complicated by at least one placental disorder. In addition, we will recruit 1800 non-pregnant women of reproductive age as a control group to provide representative regional data and biological samples. The unified data collection platform of the PRECISE database and the biorepository links together sociological, clinical and discovery bioscience research. The second and third papers in this series describe the issues and challenges around their creation, development, management and scientific uses. PRECISE takes a 360\u00b0 approach to understanding both individual-level co-exposures and contextual factors associated with the placental disorders. The fourth paper in the series describes the value of qualitative research in helping to understand quantitative and biological data. The fifth paper in the series brings the picture of the PRECISE Network together with capacity-building in research infrastructure, strengthening emerging leaders in reproductive science and supporting advocacy for research. Together, the papers in this supplement describe a vision and the developmental journey of research platform that seeks to fill current knowledge gaps related to placental conditions in sub-Saharan Africa, and strengthens capacity for research and health improvement related to placental disorders."}
+{"text": "Percutaneous Transforaminal Endoscopic Discectomy (PTED) offers an exceptional visualization of foraminal anatomy. Dorsal root ganglion and adjacent foraminal structures are satisfactorily visualized, thereby minimizing the risk of their intraoperative injury. Percutaneous Transforaminal Endoscopic Discectomy (PTED) offers an exceptional visualization of foraminal anatomy. Dorsal root ganglion and adjacent foraminal structures are satisfactorily visualized, thereby minimizing the risk of their intraoperative injury Percutaneous Transforaminal Endoscopic Discectomy (PTED) represents a novel minimally invasive method for surgical treatment of lumbar disc herniation (LDH). PTED provides access to the underlying pathology through Kambin's triangle, a right angle triangle located at the lower portion of lumbar intervertebral foramen (LIF). This triangle defined by the exiting nerve root as the hypotenuse, the posterolateral edge of superior endplate of underlying vertebra horizontally and the superior articular facet vertically.Authors have no conflict of interest to declare.KS: involved in conception and design, acquisition of data, analysis and interpretation of data, critical revision of manuscript, general supervision, and final approval. GN: involved in acquisition of data, drafting of manuscript, and critical revision of manuscript. TT and GM: involved in acquisition of data, analysis and interpretation of data, and critical revision of manuscript.Conduction and publication of this specific article was approved by Institutional Review Board and Ethics Committee of Interbalkan European Medical Center, Thessaloniki, Greece."}
+{"text": "The AFU global initiative begin with a collaborative agreement by Arizona State University (ASU), Dublin City University (DCU), and the University of Strathclyde in 2012. The vision was to spur other universities to be fully inclusive of all generations. In 2013, ASU and DCU created a Trans-Atlantic Catalyst Fund to spur AFU initiatives at each institution, with an early focus on research in on dementia, technologies for \u201caging in place,\u201d challenges of caregiving, healthy and active aging, and retirement community design. Since then, ASU has embedded Age Friendly practices throughout the institution via creation of a new foundational charter , creation of ASU-wide Center for Innovation in Healthy and Resilient Aging, a re-purposed Osher Lifelong Institute, construction of the Mirabella community (twenty-story gateway for older adults into ASU), new inter-generational learning platforms, and implementation of universal learning systems."}
+{"text": "Diseases related to Coronavirus-19 and their consequences APS , b are fThese conditions may also provide us with a unique opportunity to engage in studies that may be able to provide important and crucial information to understand the various ways and the extent to which the COVID-19 and its consequences may be impacting on language function and cognition, development of linguistic categories, cross-language learning, language-specific concept formation, memory and retrieval of specific events, the role of emotions on language production, etc.Semantic analysis of medical misinformation on social media during the Covid-19 pandemicUsing public figures as case studies for how language has changed during the course of the pandemic. Using their social media posts over time to provide linguistic data.Analysis of pandemic narratives. Asking people to speak about their experience of being isolated, how their memory (for what category) may be affected, what gives them comfort, changes in perceptions and language expression, etc.Linguistic content analysis of individuals with or without a previous history of traumaIssues related to differential effect of increased emotional concern on language learning and language performance in children, young adults, and the elder populationsImpact of change in attentional preoccupation on language functioningImpact of COVID-19 on specific mechanism involved in reading, writing, concept formation, abstract thinking, etc.Difference and quality of metaphor and changes in dimension of metaphor in general population, children, elderly in relation to the Coronavirus experienceMetaphor interpretation and reading abilityOrganization in speech eventsSpeech perception in its multilevel processing systemCoding and sentence retrievalChanging in propositional reasoning with or without propositionDevelopment of young children\u2019s awareness of words, syntax, grammatical structures, etc.Children\u2019s conversational repairsParsing strategies and discourse contextChanges in comprehension of complex sentences: A Developmental analysisFunction of stages in the acquisition of syntaxImpact of emotional conflicts in voluntary and involuntary component of speechProcessing of idioms with multiple meaningsEffect of gender and topic on speech processing, production, stylesSemantic and syntactic processing in monolingual and bilingualsConditional reasoning and semantic contextUnderstanding and processing linguistic time sequenceChildren\u2019s Knowledge of propositional phrase structureChildren\u2019s concept of wordIdentifying deception in language communicationChanges in electrophysiological correlates of semantic featuresImpact of increased emotionality and ambiguity in Dyslexic individuals\u2019 reading and language processing/productionImpact of ambiguity on language perception and judgment of intentionality in normal and paranoid subjectsChanges in linguistic markers: Concepts of health, illness, and diseaseSemantic and pragmatic factors in the representation of near and far or spatial dimensionsLanguage acquisition and children\u2019s representation of knowledgePerception of stress contrasts in semantic and nonsemantic contexts by children and adultChanging in mentalism and language productionBilingual frequency encodingInput/output switch in bilingual code-switching of ordinary and emotionally-laden contentEffect of stress on linguistic generalization in bilingualsLanguage processing and language organization in bilingual populationSpeed perception: Word recognition in foreign languageProcessing of COVID-19 experience among the deaf and mute populationsSemantic and phonemic verbal fluency in blindsEtc.In response to this challenge, we are launching a call for specialized contributions meant to help address some of these challenges. We are accepting contributions in a form of special issues or individual manuscripts focusing on research and theoretical constructs geared at advancing and guiding research methodology for a variety of topics related to psycholinguistics. Below are some of the themes to consider:For any questions about the special issue or suitability of a manuscript, please feel free to contact the Editor-in-Chief at javierr@stjohns.edu or initiatives@stjohns.eduWe are requesting a brief abstract of no more than 500 words clearly stating the specific relevance of the manuscript in addressing the contribution of psycholinguistic science in advancing our understanding of the impact of COVID-19 on language processing and production, neurolinguistic issues likely to be affected, impact on psycholinguistic research, etc. We welcome innovative linguistic models likely to encourage new ways of fulfilling our scientific responsibility in virtual contexts while protecting the scientific integrity of the academy. Those submitting a special issue topic should include a brief abstract for each of the contributions to be included in that special issue with the information listed below.Please, include a cover letter providing names, email addresses and other relevant contact information for three independent reviewers . Reviewers from different career stages, institutions, and countries are encouraged. It should also include the following to be submitted to the Editor-in-Chief, Rafael Art. Javier (javierr@stjohns.edu and initiatives@stjohns.edu).Abstract submission: June 1, 2020.Submission of complete manuscript: October 1, 2020.Title of the manuscript (s)List of author (s) and affiliation (s)Abstract (s)Estimated time of completionWhen submitting your proposal (s), include the following for each manuscript, in addition to the cover letter:Accepted manuscripts will be electronically published on an ongoing basis. The first special issue is expected to be published by June 2021. Subsequent special issue publications will follow, if appropriate."}
+{"text": "Francisella tularensis, isolated from diverse sources, have been reported in recent years. In this announcement, we present the complete sequence of the circular chromosome of one of the closest neighboring genera of Francisella, the type strains of Allofrancisella inopinata and Allofrancisella frigidaquae.Near neighbors to the causative agent of tularemia, Francisella tularensis, isolated from diverse sources, have been reported in recent years. In this announcement, we present the complete sequences of circular chromosomes of one of the closest neighboring genera of Francisella .Near neighbors to the causative agent of tularemia, Francisellaceae, named Allofrancisella, was published, with three different species and of the type strain of Allofrancisella frigidaquae SYSU 10HL1970 , in addition to the already published complete genome sequence of the type strain of Allofrancisella guangzhouensis . Short-read sequencing libraries were prepared using a Nextera XT 600-cycle kit and sequenced on an Illumina MiSeq sequencer, followed by trimming using Trimmomatic under the accession no. CP038017, SRR11853073, and SRR11853074.These complete genome sequences are the first versions and have been deposited in GenBank/SRA. Genome and read sequences for SYSU YG23 (FSC1302) are available under the accession no."}
+{"text": "Multiple sclerosis (MS) is a chronic inflammatory/demyelinating disease of the central nervous system (CNS) animal models of MS etiopathology, (ii) cellular processes in MS pathophysiology, and (iii) tools and biomarkers enabling investigation of Titus et al. and Sen et al. summarized the most updated models supporting either the outside-in or the inside-out theory of MS. In particular, the first study concluded that, due to the heterogeneous manifestation of MS pathology, a combination of both paradigms, rather than one of the two, may better explain the origin of MS. Conversely, the second article supported the value of more recently developed models, like the cuprizone (CPZ) mouse, to investigate primitive changes occurring in MS brains. Interestingly, CPZ models seem ideal to reveal the mechanisms involved in MS origin before the immune attack intervenes, and to study MS progression in conditions of immune reaction and protection.Ferr\u00e8 et al. provided an update of genetic factors associated with MS onset, progression and treatment response. At present, the majority of genes and biological processes associated with a higher MS risk are implicated in immune functions enables identification of focal demyelination in white matter and cortical lesions already from the earliest phases of MS. Lesion burden was associated with serum neurofilament light chain (sNfL) levels, a biomarker of axonal injury. Moreover, the 2-year longitudinal changes of cortical and white matter lesion burden correlated with the cognitive performances of MS patients. This underlined the relevance of MRI biomarkers and sNfL to identify from the earliest disease phases reliable markers of neurodegeneration, disease severity and progression.Pathological studies and experimental models are the gold standard approaches to investigate MS pathophysiology. However, recently, several laboratory, neuroradiological and neurophysiological tools have been applied to define reliable biomarkers for understanding MS development and progression Frontiers in Cellular Neuroscience, -Immunology, and -Neurology provides an integrated overview of the \u201chot topics\u201d in the field of MS cause. Emerging from the article collection is a complex picture where a dichotomy between outside-in/inside-out theories is replaced by a more integrated vision where both theories might equally apply according to the specific condition. The studies published in this issue emphasize the need for a re-evaluation of cellular processes, previously regarded as pure indicators of immune attack , in combination with the individual (genetic) variability of MS patients, and the development of highly predictive experimental models/accurate biomarkers to unravel the unknown cause of the MS in the coming years.In conclusion, this issue of AL, PP, and B'tH wrote the manuscript. All authors contributed to the article and approved the submitted version.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Neglected tropical diseases (NTDs) are a group of infections that are prevalent in many of the tropical and sub-tropical developing countries where poverty is rampant. NTDs have remained largely unnoticed in the global health agenda. There is a substantial gap between the burden of disease for NTDs in cardiovascular diseases (CVD) and research devoted to the affected populations. We created a Latin-American initiative with emerging leaders (EL) from the Interamerican Society of Cardiology (IASC) with the objective to perform multiple systematic reviews of NTDs and other infectious diseases affecting the heart: The NET-Heart Project.To describe the rationale and design considerations of the NET-Heart project.The NET-Heart Project is a collaborative work of the IASC EL program. The main objective of the NET-Heart project is to systematically evaluate the available evidence of NTDs and other infectious diseases and their cardiovascular involvement. As a secondary objective, this initiative aims to offer recommendations and potential diagnostic and therapeutic algorithms that can aid the management of cardiovascular complications of these infectious diseases. After an expert discussion 17 initial infectious diseases were selected, for each disease we created one working group. The project was structured in different phases: Systematic review, brainstorming workshops, analysis and results, manuscript writing and recommendations and evaluation of clinical implications.The NET-Heart project is an innovative collaborative initiative created to assess burden and impact of NTDs and other infectious diseases in CVD. NTDs can no longer be ignored and must be prioritised on the health and research agenda. This project aims to review in depth the evidence regarding cardiac compromise of these serious conditions and to propose strategies to overcome barriers for efficient diagnosis and treatment of cardiovascular complications. NTDs are a group of bacterial, parasitic, viral and fungal infections that are prevalent in many of the tropical and sub-tropical developing countries where poverty is rampant affecting more than one billion people . By contAccording to the last meeting of the Strategic and Technical Advisory Group for NTDs, the World Health Organization (WHO) has in its portfolio a diverse group of heterogeneous diseases, such as: Chagas disease, Buruli ulcer, Rabies, Soil-transmitted helminthiases, Trachoma, Schistosomiasis, Snakebite envenoming, Scabies and other ectoparasites, Taeniasis/Cysticercosis, Dengue and Chikungunya, Dracunculiasis (guinea-worm disease), Leishmaniasis, Leprosy (Hansen\u2019s disease), Echinococcosis, Foodborne trematodiases, Human African trypanosomiasis (sleeping sickness), Onchocerciasis (river blindness), Lymphatic filariasis, Mycetoma, Yaws (Endemic treponematoses), chromoblastomycosis and other deep mycoses . NTDs haNTDs cause a significant portion of disease. In the 2010 Global Burden of Disease Study, NTDs accounted for 26.06 million disability-adjusted life years (DALYs) . MoreoveCVD is the leading cause of mortality worldwide . More th9There is a substantial gap between the burden of disease for NTDs in CVDs and research devoted to the affected populations. Furthermore, considering the difficulties to access healthcare services that exist in many regions affected by NTDs, the usual recommendations may not be easy to implement so alternative strategies might be necessary. We created a Latin American initiative with the EL program from the IASC with the objective to perform multiple systematic reviews of NTDs and other infectious diseases affecting the heart: The NET-Heart Project.The purpose of this paper is to describe the rationale and design considerations of the NET-Heart project.The NET-Heart project is a collaborative work of the IASC EL program.The EL program is comprised of a group of enthusiastic, talented and creative young cardiologists, residents, pre-grad students and fellows from different countries of north and south America Figure .The main objective of the NET-Heart project is to systematically evaluate the available evidence of NTDs and other infectious diseases and their cardiovascular involvement. As a secondary objective, this initiative aims to offer recommendations and potential diagnostic and therapeutic algorithms that can aid the management of cardiovascular complications of these infectious diseases.After consulting experts in tropical diseases and cardiologists, we chose the infectious diseases that presented major impact on the cardiovascular system. We selected 17 infectious diseases: human immunodeficiency virus, dengue, zika, chikungunya, tuberculosis, African trypanosomiasis, malaria, Chagas, schistosomiasis, Lyme, cysticercosis, echinococcosis, fascioliasis, leishmaniasis, coronavirus disease 2019, rabies and toxoplasmosis.For each disease we created one working group led by a principal investigator with a co-investigator, an expert on the infectious disease to be investigated, and a supervisor. Globally they had a director (AB) and coordinator (CS) Table .The project was structured in four main phases.Systematic review: It includes studies evaluating the infectious disease and its cardiovascular involvement. We adhered to the Preferred Reporting Items for Systematic Reviews and Meta-Analyses (PRISMA) statement in conducting and reporting the systematic reviews .\u201cBrainstorming\u201d Workshops: Based on the systematic review research results, workshops were held with the experts to determine the focus and design of the study .Analysis and results.Manuscript writing and recommendations and evaluation of clinical implications.All initial meetings and workshops were conducted through video conferences. Currently, the vast majority of the project\u2019s working groups are starting phase 3.The NET-Heart project is an innovative collaborative initiative to assess burden and impact of NTDs and other infectious diseases in CVDs. Considering that the burden of traditional risk factors cannot fully explain the increase in CVDs in LMICs, and that there is lack of information about the contribution of NTDs to CVD, we aim to review in depth the evidence regarding cardiac compromise of these serious conditions. We also intend to propose strategies to overcome barriers for early diagnosis and efficient treatment of cardiovascular complications."}
+{"text": "This study examined the effect of registered nurse (RN) staffing level, work environment, and education on adverse events experienced by residents in nursing homes. A cross-sectional study was conducted with 216 RNs working in nursing homes who were selected using random stratified sampling by location and bed size. Self-reported questionnaires regarding staffing level, work environment, education level, adverse events, and nurse characteristics were administered. Data from the National Health Insurance Service were used to describe nursing home characteristics. Both multiple and multinomial logistic regressions were used to control for the characteristics of nurses and nursing homes, and investigate the effects of nursing staffing level (number of older adults assigned to a nurse), work environment , and level of nursing education on the adverse events experienced by residents. An increase of one resident per RN was significantly associated with a higher incidence of pressure ulcers . Poor work environment increased the incidence of adverse events such as pressure ulcers and sepsis . Compared to RNs with a baccalaureate or higher, RNs with diplomas reported increased incidence rates of pressure ulcers . RN staffing, work environment, and education level affect the incidence of pressure ulcers, and the work environment affects the incidence of sepsis among residents in nursing homes. Policy-wise, improving the level of nurse staffing, nursing work environment, and nursing education will improve health outcomes of residents."}
+{"text": "The use of ultrasound (US) in emergency departments (ED) has become widespread. This includes both traditional US scans performed by radiology departments as well as point-of-care US (POCUS) performed by bedside clinicians. There has been significant interest in better understanding the appropriate use of imaging and where opportunities to enhance cost-effectiveness may exist. The purpose of this systematic review is to identify published evidence surrounding the cost-effectiveness of US in the ED and to grade the quality of that evidence.We performed a systematic review of the literature following Preferred Reporting Items for Systematic Review and Meta-Analyses (PRISMA) guidelines. Studies were considered for inclusion if they were: (1) economic evaluations, (2) studied the clinical use of ultrasound, and (3) took place in an emergency care setting. Included studies were critically appraised using the Consolidated Health Economic Evaluation Reporting Standards checklist.We identified 631 potentially relevant articles. Of these, 35 studies met all inclusion criteria and were eligible for data abstraction. In general, studies were supportive of the use of US. In particular, 11 studies formed a strong consensus that US enhanced cost-effectiveness in the investigation of pediatric appendicitis and 6 studies supported enhancements in the evaluation of abdominal trauma. Across the studies, weaknesses in methodology and reporting were common, such as lack of sensitivity analyses and inconsistent reporting of incremental cost-effectiveness ratios.The body of existing evidence, though limited, generally demonstrates that the inclusion of US in emergency care settings allows for more cost-effective care. The most definitive evidence for improvements in cost-effectiveness surround the evaluation of pediatric appendicitis, followed by the evaluation of abdominal trauma. POCUS outside of trauma has had mixed results. Ultrasound (US) is well established as a safe and effective imaging modality for the rapid diagnosis and management of emergency conditions. At the bedside, it also improves success and patient safety during invasive procedures \u20135. In thThere is a common assumption that US is cost-effective in emergency care settings as it is diagnostically valuable, rapid, and less expensive than other imaging modalities like computed tomography (CT) and magnetic resonance imaging (MRI) . HoweverCost-effectiveness analysis is a tool that combines economic and health outcome data to produce standardized ratios of costs and benefits. The outputs of CEAs allow for comparison of diagnostics that vary by both price and clinical utility, and generate important data to support decisions related to health policy and investment. The validity and reliability of CEAs are highly dependent on the rigor with which they are conducted. In 2013, health economists developed consensus-based guidelines on the conduct and reporting of health economic evaluations, called the Consolidated Health Economic Evaluation Reporting Standards (CHEERS) checklist .We present a systematic review of the published evidence surrounding the cost-effectiveness of US in emergency care settings. Our aim is to characterize the existing knowledge regarding the costs and benefits of emergency US, to examine the quality of cost-effectiveness studies using the CHEERS checklist, and to provide guidance for future research efforts.A systematic review of the literature was performed using the Preferred Reporting Items for Systematic Review and Meta-Analyses (PRISMA) guidelines . The revwww.covidence.org), an online platform for systematic review. Studies were considered for inclusion if they were: (1) economic evaluations that assessed costs and outcomes of comparative strategies; (2) studied the clinical use of US; and (3) took place in an emergency care setting. Two reviewers with experience in reading, writing and reviewing economic evaluations independently assessed titles and abstracts for inclusion in a blinded fashion. Studies progressed to a full-text review if both reviewers agreed on the relevance based on the research question. Studies then underwent full text reviews for eligibility by each reviewer. Disagreements were resolved by consensus. The following information was extracted from each of the studies in the review: country, year of publication, intervention, comparator, time horizon (the time over which the costs and effect are measured), discount rate (the rate at which future costs and benefits are discounted), perspective (which costs are included or excluded), health outcome, sensitivity analyses (an assessment of the level of uncertainty in the modeling), and findings.All studies were collated and screened for eligibility through Covidence , biliary, venous, and renal applications. A small group of studies also evaluate general US processes and impact in the emergency department (ED). Tables We identified 11 studies that assessed the cost-effectiveness of US in the evaluation of acute appendicitis \u201328. The Six studies examined US in the setting of acute trauma \u201334. TheySix studies examined US in the setting of renal, biliary, or venous pathology \u201340. The Three studies assessed US in the evaluation of emergency OB/GYN complaints \u201343. One Four studies assessed echocardiography in the emergency care setting \u201347. ThreFinally, we identified a collection of studies evaluating the downstream impact of emergency US on resource utilization \u201352. One While we tailored our search criteria to identify formal attempts at CEA, considerable variability remained in the quality of the economic evaluations conducted in the studies we identified. Most studies received about half the possible points on the CHEERS checklist. Inadequacy in the performance or the reporting of study perspectives, preference-based health outcomes , modeling assumptions, transparency of costs, characterization of uncertainty, and incremental cost-effectiveness ratios contributed to the majority of downgrading. For example, only nine of the 35 studies presented any characterization of the uncertainty surrounding their cost-effectiveness results, only seven presented an incremental cost-effectiveness ratio, and only 11 explicitly stated the economic perspective from which they were calculating costs.To our knowledge, this is the first systematic review to broadly evaluate the cost-effectiveness of US in the emergency care setting across all applications, including both radiology-performed and POCUS exams. The body of literature identified through this systematic review is fairly consistent in supporting the increased cost-effectiveness of integrating US in emergency care settings across a variety of applications. Healthcare systems have begun to focus on value-based approaches throughout the hospital including the ED , and theOf the studies identified in this systematic review, those pertaining to the cost-effectiveness of US in the ED evaluation for pediatric appendicitis were the most plentiful and consistent in demonstration of cost-effectiveness gains, particularly when used in conjunction with clinical decision rules \u201328. ThreUse of POCUS evaluation of trauma is ubiquitous and recommended by the American College of Surgeons . The sixCost-effectiveness of consultative ED US was demonstrated across a variety of applications, including echocardiography, appendicitis, venous thromboembolism, renal, and obstetric. This is consistent with a prior narrative review that demonstrated increased cost-efficiency of US across the spectrum of clinical medicine .The studies identified in this review generally support the cost-effectiveness of POCUS, although some reach the alternative conclusion. The aforementioned studies evaluating POCUS in trauma consistently demonstrated cost savings. Additionally, multiple studies demonstrated potential cost savings in POCUS for biliary and OB/GYN applications , 37, 42.None of the studies included in this systematic review specifically address the widely-inferred cost-effectiveness of POCUS due to increased efficiency and patient throughput, or the decreased adverse iatrogenic events due to US guidance of procedures \u201359. ThisThis systematic review sought to identify all relevant articles by searching five databases without language or date restrictions; however, it remains possible that pertinent articles were missed. Multiple independent reviewers were utilized at each step of the study selection and data abstraction process to minimize the likelihood of excluding relevant studies. Additionally, the mixed quality of methodology and reporting surrounding the economic evaluations conducted in these studies is notable. Most authors did not frame their analysis as a formal cost-effectiveness study, which may have led to the lack of robust methodology. Both past and recent reviews of cost-effectiveness studies in radiology have highlighted the need for standardized approaches , 61. ThiIn summary, the body of existing evidence, though limited, is generally supportive of the cost-effectiveness of US in the emergency care setting. The strongest evidence of cost-effectiveness of ultrasound in the ED exists in the evaluation of pediatric appendicitis and of abdominal trauma. Further study, using established best-practice standards in the methodology of cost-effectiveness analysis, is needed to definitively establish the cost-effectiveness of consultative and POCUS across a variety of applications in emergency care settings."}
+{"text": "To develop a clinical technique for objective estimation of exact location and degree of participation of face and neck soft tissues in age-related deformations for determine effective mini-invasive treatment techniques.Ultrasound examination was performed in 2017-2019 at 63 patients with age-related face changes. Examination was done in the vertical position for determine the role, exact location and participation degree of different soft tissues of the face and neck in age-related changes.Great diagnostic value of ultrasound examination of involutional changes in soft tissues of lower third of face and neck was noted to determine all causes of contour age-related deformities. These results were used to choose effective minimally invasive methods for correction.Ultrasound examination is a non-invasive, harmless, clinically available, inexpensive examination that allows to determine exact localization and degree of participation of different soft tissues of face and neck in age-related changes. That is very important for planning and use different minimally invasive techniques for facial and neck rejuvenation. As the people\u2019s life in the world has increased, they want to stay longer healthy, active, young and look good.Historically, in plastic surgery, methods for objective assessment of deformities in the lower third of the face and neck are not so important for open surgical techniques, when a surgeon can correct his actions based on intraoperative situation. Good visualization of tissues is impossible during minimally invasive correction, but it is very important for objective evaluation of tissues causing the deformation and for correct planning the actions of plastic surgeon. The first report on facial muscle imaging using ultrasonography was published in 1988.The aim of our research was to develop a clinical technique for objective estimation of exact location and degree of participation of face and neck soft tissues in age-related deformations for determine effective mini-invasive treatment tactics.The prospective analysis of examination and treatment of 137 patients with aged-related involutional changes in soft tissues of lower third of face and neck was performed in Federal Research Clinical Center of the FMBA in the period from 2017 to 2019. The stages of the study were approved by the Ethics Committee of the N.I. Pirogov Russian National Research Medical University . We have obtained the patent \u2018Method for choosing treatment techniques for age-related involutive changes in the face and neck soft tissues\u2019 RU 2710671 30.12.2019. Written consent of all patients to use the results of research and photos was obtained.The age of patients was from 38 to 62 years. Among them, women were 121 (88.3%), men \u2013 16 (11.7%). The average age was 49 \u00b1 0.5 years (\u00b1 standard deviation average). Presurgery ultrasound examination was done to 63 patients. The examination was performed using an ultrasound device Voluson E8Voluson E8 (Austria), a linear sensor 9 L, with a radiation frequency of 3-8 MHz. Ultrasound examination was done in the vertical position of patient to determine the maximal point of soft tissues ptosis of lower third of the face and submandibular area. Then tissue composition was determined using ultrasound without compression in this position. Parameters were measured: surplus subcutaneous and subplatysmal adipose tissue and its thickness, the thickness of platysma and the level of divergence of the edges of platysma from the mandible edges, ptosis platysma strands. Composition of tissue disturbing the contour of lower jaw from both sides was defined in the same position of patient. The thickness of the skin, subcutaneous fat and ptosis of muscles were assessed, i.e. the degree of participation of each tissue in age-related deformities.During our work we noted great diagnostic value of ultrasound examination of involutional changes of soft tissues of the lower third of the face and neck to determine all the causes of contour deformities and to define minimally invasive methods for their correction. Some clinical cases are present for illustration.Patient H, 45 years old, complained of ptosis of soft tissue face and neck, violation of aesthetic. Clinical diagnosis: Age-related soft tissue atrophy of lower third of the face and neck. During examination we found slight sagging of soft tissues in the lower third of the face and submandibular area. There were slight excess skin and wrinkles with possibility of correction without excision and formation of deforming relief .On ultrasound examination accumulations of adipose tissue was found in the lower third of the face, neck and chin (73% of the thickness of soft tissue that violated contours of the lower jaw and the neck-submandibular angle). There were no atrophic age-related changes in platysma .Result of ultrasound examination showed that the local removal of excess subcutaneous fat in areas of disturbed contours of lower jaw and submandibular area was enough to correct the aesthetic lines of these areas, it was confirmed by the results of treatment of the patient .Patient G., 54 years old, complained of soft tissue ptosis of the face and neck. Clinical diagnosis: Age-related soft tissue atrophy of lower third of the face and neck. During examination we found slight sagging of soft tissues in the submandibular area and platysma strands, painless and moderately displaced by palpation. There were excess skin and wrinkles with possibility of correction without excision and formation of deforming relief .On ultrasound examination in the vertical position of the patient we found ptosis of platysma strands from both sides, causing deformation of the contours of neck-submandibular angle, accumulation of fat tissue over platysma was inconsiderable and did not exceed the thickness of subcutaneous fat in adjacent regions. It was found that 68% of the thickness was determined by excessive deposition of subcutaneous fat.Result of ultrasound examination showed that violation of contours of the neck-submandibular area was caused by age-related involution of tissues of subcutaneous neck muscle (platysma) and was not caused by local excessive accumulations of subcutaneous fat or skin ptosis. Violation of contours of lower jaw was mainly by local excessive accumulation of subcutaneous fat, with secondary unexpressed ptosis and excess skin . Thus, cPatient K., 58 years old, complained of ptosis of soft tissue face and neck, problems of aesthetic. Clinical diagnosis: Age-related soft tissue atrophy of lower third of the face and neck. Visually, there was a sagging of soft tissues in the submandibular and cervical area, excessive accumulation of adipose tissue, violation of the contour of the lower jaw, and a smoothed neck- submandibular angle .On ultrasound examination in the vertical position of the patient we found excessive accumulation of adipose tissue above the platysma in the chin and neck area problems of lower jaw contour due to accumulation of fat, ptosis of medial platysma was diagnosed. There were not determined either visually on palpation during physical examination .Based on the results of ultrasound, it was concluded that age-related problems were caused by local excess deposition of subcutaneous fat and ptosis of platysma cords. Thus, liposuction and platysmotomy was performed with intraoperative ultrasound control which were sufficient to correct age-related changes in this area for our patient .Success of aesthetic surgery considerably depends on understanding of mechanisms of each specific deformity formation, skills to evaluate them in planning and making surgical correction as well as rehabilitation measures in postoperative period.8Aging process affects all parts of the face and neck. Deformation in neck area can be determined by several factors: weakness of skin and platysma, appearance of platysma bands, ptosis of submandibular glands, lipodystrophy and even jaw resorption. Changing of face and neck proportions, quality and structure of skin, volume and location of fat make some interventions more difficult and may limit to obtain positive results.11Analysis reveals that only few studies have been performed for objective diagnosis of involutional changes caused in lower third of face and neck. Unfortunately, practically all authors rely on subjective assessment of clinical situation. At the same time, based on anatomical studies, it is evident, that it is necessary to differentiate specific anatomical structures of soft tissue deformations. It is also difficult in many cases on general physical examination, especially in patients with thick skin and expressed subcutaneous fat cellular.For example, it is not rare situation in such patients, when liposuction eliminate excess fat, but contours of neck-submental angle were deformed by platysma bands that became visual after surgery, on ptosis of all platysma.Many authors in their works note the importance of accurate assessment of causes of neck contour disorders. Nevertheless, they often neglect to use diagnostic methods. Only lately publications in the world literature appeared about role of instrumental examinations in planning surgical correction of facial and neck tissue atrophy.Japanese authors tried to use computed tomography for objective visualization and evaluation of age-related soft tissue changes of face and neck. Okuda I. et al. in their study (57 women aged 21-57 years), in which they used multi-detector row computed tomography (MDCT) for diagnostic.Alfen N. V. was one of the first to use ultrasound to examine facial muscles in patients with myotonic dystrophy, and proved that this is perspective non-invasive method of diagnostics and monitoring in neuromuscular disorders. Ultrasound can be used for detecting early or subclinical face muscles lesion in Duchenne muscular dystrophy and Moebius syndrome to determine certain facial muscles are absent or atrophic.13Volk G. F. et al. in their research described diagnostic value of ultrasound in lesions of facial nerve after injuries and tumors, that lead to atrophy of face muscles. Ultrasound was used to control regeneration and sizes of face muscles after reconstructive surgery, thickness and intensity of echo in patients with chronic peripheral facial paralysis at different stages of denervation and reinnervation. This method simultaneously presented functional and structural information about muscle state.15Safran T et al. noted the importance of using ultrasound in cosmetology. They measured muscle thickness after botulism toxin injection, skin thickness after implantation of polylactic acid filaments and before eyelid and face surgeries. Their research indicated the importance of patients\u2019 anatomy visualizing in real time for low complication rate without radiation exposure.16X. Wortsman, and colleagues have described in detail the ultrasound anatomy of face for non-invasive cosmetic and plastic surgery, pointed to the importance of ultrasound examination of facial structures in various deformities, paresis muscles and bruxism.G. Mashkevich et al. used ultrasound examination of the submandibular area in 10 patients. It helped to identify, which of this area components mainly caused deformation, especially in patients with so-called \u201cheavy\u201d necks.18Analysis of works reveals that ultrasound is a non-invasive, not inexpensive method in clinical practice that can visualize in detail the anatomy of soft tissues of face. However, it was not previously used in clinical practice for diagnostic involute changes of face lower third and neck to determine treatment tactics.New idea and finding of our work are the use of ultrasound examination for age-related changes of soft tissues of the lower third of face and neck in the vertical position of the patient. Different ptosis tissues and the degree of their participation in age-related changes are visible in different anatomical areas. It significantly help in determination of effective minimally invasive treatment methods in a number of clinical situations.Ultrasound examination is non-invasive, harmless, clinically available, inexpensive examination that allows to determine exact localization and degree of participation of different soft tissues of face and neck in age-related changes. It is very important for planning of use different minimally invasive techniques for facial and neck rejuvenation.VS: Conceived, designed the study, data collection, editing of manuscript, review and final approval of manuscript.SA, AT, LS: Did statistical analysis, data collection and manuscript writing."}
+{"text": "Dysfunction of the autonomic nervous system has been implicated in the pathogenesis of cardiovascular disease, including congestive heart failure and cardiac arrhythmias. Despite advances in the medical and surgical management of these entities, progression of disease persists as does the risk for sudden cardiac death. With improved knowledge of the dynamic relationships between the nervous system and heart, neuromodulatory techniques such as cardiac sympathetic denervation and vagal nerve stimulation (VNS) have emerged as possible therapeutic approaches for the management of these disorders. In this review, we present the structure and function of the cardiac nervous system and the remodeling that occurs in disease states, emphasizing the concept of increased sympathoexcitation and reduced parasympathetic tone. We review preclinical evidence for vagal nerve stimulation, and early results of clinical trials in the setting of congestive heart failure. Vagal nerve stimulation, and other neuromodulatory techniques, may improve the management of cardiovascular disorders, and warrant further study. The autonomic nervous system regulates all aspects of cardiac function, including chronotropy, inoptroy, dromotropy, and lusitropy . In the via C7 to T6 rami to the superior cervical, middle cervical, stellate, or cervicothoracic ganglia, and acts though norepinephrine and neuropeptide Y (The anatomy of the cardiac nervous system is complex and has been categorized into: (1) central components, (2) intrathoracic extracardiac components, and (3) intrinsic cardiac components . The inteptide Y . Affereneptide Y . These aeptide Y initiatieptide Y . The ICNeptide Y . These geptide Y . Contrareptide Y . Moreoveeptide Y . For exaeptide Y . Similareptide Y . Given tIn this review, we provide a brief foundation for understanding the structure of, and organization of the cardiac autonomic nervous system and highlight neural control of cardiovascular function, emphasizing the roles of the sympathetic, parasympathetic, and ICNSs. Based on this scientific foundation, an overview of current neuromodulatory therapies is presented, focusing on cardiac sympathetic denervation and VNS . We highAutonomic control of the cardiovascular system is mediated through afferent and efferent pathways and neural networks involving the brain stem, spinal cord, peripheral ganglia, and ICNS . FeedbacCanonical organization of the sympathetic nervous system traditionally considers two sets of neuronal projections, defined by location of cell bodies and neurotransmitters mediating cell to cell communication. Preganglionic neurons with cell bodies in the intermediolateral cell column of the cervical and thoracic spinal cord (C7-T6) project to the superior, middle, cervicothoracic or stellate ganglia, and the remainder of paravertebral chain, with fibers running through ventral horns . Postganin vivo surrogate for action potential duration evaluated the adjunct use of the Demipulse VNS system for left or right cervical vagal nerve stimulation in a cohort of patients with heart failure with reduced ejection fraction and New York Heart Association functional class II-III symptoms . ImproveTwo other major studies have explored the impact of VNS on cardiovascular outcomes in the setting of heart failure, with mixed results . The NEuThe INcrease Of VAgal TonE in Heart Failure (INOVATE-HF) trial randomized 707 patients with HFrEF (LVEF \u2264 40%) with NYHA class III symptoms to medical therapy or medical therapy and VNS using an R-wave triggered pulse . Of noteOur prior work has described the concept of the neural fulcrum \u2013 an equilibrium point between activation of afferent and efferent vagus nerve pathways, resulting in a null heart response to stimulation with intact neural circuits . TitratiMultiple cardiovascular disorders including myocardial infarction and congestive heart failure result in excessive sympatoexcitation and a withdrawal of central parasympathetic tone . The majJH and JLA contributed to writing, reviewing, and editing of the manuscript. Both the authors approved the submitted version.University of California, Los Angeles has patents developed by JLA relating to cardiac neural diagnostics and therapeutics. JLA is a co-founder of NeuCures, Inc.The remaining author declares that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Dear Editor,Mastocytosis is a heterogeneous group of disorders whose signs and symptoms are characterized by mast cells infiltrate in tissues.peau d\u2019orange appearance , abdominal symptoms, respiratory symptoms, hypotension and even anaphylaxis.DCM is a rare condition that usually manifests with erythema, dermal thickening, skin folds accentuation, and edema with a typical leather or peau d\u2019orange appearance.4A review of DCM cases concluded that the majority were congenital and that even in cases of high tryptase the prognosis was good.Reliable prognostic criteria are still lacking to predict the risk of systemic involvement in DCM and maculo-papular mastocytosis. Most cases of DCM resolve spontaneously in childhood or adolescence, however these patients are at a greater risk of complications such as hypotension, anaphylaxis and diarrhea and they should be monitored regularly.None declared.Julia Marcon Cardoso: Approval of the final version of the manuscript; conception and planning of the study; elaboration and writing of the manuscript; critical review of the literature; critical review of the manuscript.Camila Angelico S. Cabral: Conception and planning of the study; critical review of the literature;Rute Facchini Lellis: Approval of the final version of the manuscript; obtaining, analysis, and interpretation of the data.None declared."}
+{"text": "The development of medicines designed for children can be challenging since this distinct patient population requires specific needs. A formulation designed for paediatric patients must consider the following aspects: patient population variability; dose flexibility; route of administration; patient compliance; drug and excipient tolerability. The purpose of this Special Issue entitled \u201cPaediatric Formulation: Design and Development\u201d is to provide an update on both state-of-the-art methodology and operational challenges in the design and development of paediatric formulations. It aims at re-evaluating what is needed for more progress in the design and development of age-appropriate treatments for paediatric diseases, focusing on: formulation development; drug delivery design; efficacy, safety, and tolerability of drugs and excipients. This editorial, briefly, summarizes the objects of nine original research and review papers published in this Special Issue. When designing and developing paediatric medicines, the route of administration, dosage form, and dose of the active ingredient (API) are decided on the basis of the expected duration of the therapy, the disease affecting a patient and his/her age, size, physio-pathological condition, API organoleptic and physicochemical properties , its pharmacokinetic and pharmacodynamic properties, and stability during manufacture, storage, and use of the chosen formulation ,2,3,4.The paediatric population is a heterogeneous group ranging from preterm newborn infants to adolescents with wide physiological and developmental differences regarding organ and skin maturation, metabolism, and other factors that impact on the pharmacokinetics and pharmacodynamics of a drug .It is a challenge to formulate one dosage form appropriate for this heterogeneous group of the human population. The goal should be to safely cover as wide an age range as possible with one specific dosage form. The guiding principle for choosing paediatric formulations should be the equilibrium of risks and benefits, taking into account the specific needs of these vulnerable patients. Key aspects in paediatric formulations involve the design and development of novel dosage forms, which should be adjustable for age and size, acceptable and palatable, easy to administer, and, at the same time, safer and effective ,3,4.Current use of medicines for paediatric patients reflects the full range of dosage forms and routes of administration used for adult medicines. There is, however, limited information on the acceptability of different paediatric dosage forms in relation to age and therapeutic needs and on the safety of excipients in relation to the development of the child ,3,4,6,7.Since its establishment, the biopharmaceutical classification system (BCS) has facilitated the development of oral drug formulations designed for adult patients. Theoretically, the BCS tenets could be applied also to paediatrics. Children\u2019s peculiarities and physiological differences from adults justify the need for a specific paediatric biopharmaceutics classification system (PBCS). Several scientific works attempted to provisionally classify oral drugs listed on the latest World Health Organization\u2019s Essential Medicines List for Children into age appropriate BCS. Validating a PBCS would provide a valuable tool to apply in specific paediatric formulation design by reducing time and costs and avoiding unnecessary paediatric experiments restricted by ethical reasons. Additionally, PBCS could minimize the associated risks to the use of adult medicines on pharmaceutical compound formulations for children. Moreover, developing a PBCS classification might be helpful in the process of harmonizing extemporaneous oral formulations in the hospital setting ,9.As a result of the great interest in developing age-appropriate dosage forms for children, this Special Issue, entitled \u201cPaediatric Formulation: Design and Development\u201d, was programmed to highlight the need of formulating safer and effective medicines for paediatric patients. A total of nine papers were accepted for publication in this issue: four reviews and five primary data manuscripts, focusing on (1) the design, characterization, and safety evaluation of orodispersable formulations for paediatric tuberculosis pharmacotherapy; (2) development and palatability assessment of ritonavir powder for the paediatric population; (3) development of new praziquantel paediatric formulations in schistosomiasis treatment; (4) tridimensional retinoblastoma cultures as a vitreous seeds model for live-cell imaging of chemotherapy penetration; (5) preparation and characterization of dasatinib/cyclodextrin complex for the potential treatment of paediatric neuromuscular disorders; (6) efficacy, safety, and tolerability of tyrosine kinase inhibitors in the treatment of paediatric chronic myeloid leukaemia; (7) technologies and modern approaches to modify drug release in paediatric dosage forms; (8) challenges in formulating neonatal medicines; (9) efficacy, safety, and tolerability of anti-interleukin-1 (anti-IL-1) treatment in paediatric autoinflammatory diseases.Palatable orodispersible film formulations are ideal for patients with swallowing difficulties such as babies and children because they are stable and dissolve rapidly within the oral cavity in the presence of saliva, without the need to chew or drink water. In this Special Issue, Matawo and co-workers investig\u00ae oral powder (NOP) was developed to replace the oral solution, which provided reasonable bioavailability but exhibited taste-masking challenges and required the use of solvents with potential paediatric toxicity. In this study, the authors provided an overview of the development of NOP and palatability assessment strategy. In summary, NOP provided dose flexibility, enhanced stability, eliminated solvents, and maintained consistent bioavailability, with reduced bitterness and improved palatability via administration with common food products.In this Special Issue, Morris and colleagues presenteHere, Albertini and co-workers evaluateRetinoblastoma is the most common intraocular tumour of childhood ,14. ThisFor the first time, in this issue, a new inclusion complex of dasatinib, the first-choice oral drug in the treatment of chronic myeloid leukaemia and the excipient hydroxypropyl-beta-cyclodextrin (HP-\u03b2-CD), was described and fully characterized by Cutrignelli and co-workers for the Recently, tyrosine kinase inhibitors imatinib, dasatinib, and nilotinib have been approved for the treatment of chronic myeloid leukaemia in children, even though the studies that were concerned with efficacy and safety toward this population are still awaiting defined and more accurate data ,18,19. IIn pharmaceutical technology, the paediatric population still represents the greatest challenge in terms of developing flexible and appropriate drug dosage forms. In their review article published in this issue, Trofimiuk and colleagues elucidatIn this Special Issue, O\u2019Brien at al. publisheThe safety profile of treatment is of paramount importance when children with autoinflammatory disorders are managed, since it may affect adherence to treatment and overall clinical efficacy ,24,25. IThe high number of articles published in this Special Issue entitled \u201cPaediatric Formulation: Design and Development\u201d highlights the significant amount of research being conducted on the development of medicines designed for paediatric patients.Formulating an appropriate dosage form is a challenge when considering chronic diseases that affect children and minimizing the dose frequency. Key aspects in paediatric formulations involve the design and development of novel dosage forms, which should be adjustable for age, palatable, easy to administer, and, at the same time, safer and effective."}
+{"text": "Due to the exceptionally high transmissibility and robust infectiousness of the underlying virus [severe acute respiratory syndrome coronavirus 2 (SARS-CoV-2)] was first identified in Wuhan, China, in December 2019. It was then declared a public health emergency of international concern on 30Since no vaccine is far available for containment of this virus, thus unprecedented large-scale quarantine measures are one of the best ways to prevent the chain of events leading to transmission of SARS-CoV-2. In many countries, mandatory requirements for social isolation, including stay-at-home orders, banning social contacts, canceling public events, and closing mass transit systems have been ordered by governments , 5. AlthIn social animals, positive social interactions are fundamental for increasing cognitive ability, promoting brain development, and maintaining mental and physical health, ultimately contributing to survival and reproduction , 10. LonStress due to social isolation accounts for one of the most common sources of chronic stress in humans. Previous studies have shown that chronic social isolation correlates with a higher risk of morbidity and mortality . ChronicThe brain is a vital organ that is vulnerable to influence by the external environment. Regulation of social behavior and emotion depends on complex neural circuits within the brain . PreviouExposure to social isolation stress induces a variety of endocrine changes, and dysregulation of the neuroimmune-endocrine system has been shown to be one vital mechanism for the development of psychological disorders . StudiesFurthermore, social isolation stress has also been shown to alter levels of neurotransmitters and receptor sensitivities in many regions of the central nervous system (CNS) , 39. IntSocial isolation stress can also alter neurotrophin levels. Brain-derived neurotrophic factor (BDNF) is a member of the neurotrophin family of growth factors, which are key regulators of synaptogenesis, neuronal plasticity, and adult neurogenesis , 44, creFor many countries, the COVID-19 pandemic may necessitate long-term and wide-ranging social isolation. This social isolation will not only change the reaction norms of daily activities, but may also create dramatic adverse psychological effects, including loss of freedom, isolation from friends and family, and feelings of loneliness and uncertainty. Unfortunately, chronic stress-induced neurochemical and neuroendocrine disorders are often neglected until they become psychological illness. Given that a mandatory quarantine of confirmed and suspected cases is the best way to avoid spread of COVID-19, a series of measures are needed to avoid the negative physiological and psychological effects induced by chronic social isolation, including potential neurochemical and neuroendocrine system disorders. First, national public health emergency systems should provide fundamental and explicit guidelines for prevention of mental illness induced by mandatory social distancing and thereby mitigate physiological and psychological stressors. These guidelines should include recommendations for positive social interactions and maintenance/development of social supports, including online communication with relatives and friends . Second,In conclusion, both governments and citizens must recognize the important neurochemical and neuroendocrine changes induced by the chronic social isolation stress of the COVID-19 pandemic to help prevent potential psychological and mental illnesses that are often invisible and easy to neglect.LW: literature searched and wrote the original draft. GN: literature searched and wrote the original draft. TZ: manuscript revised. DL and YW: study designed. DL: wrote the final manuscript. All authors contributed to the article and approved the submitted version.This work was supported by the National Natural Science Foundation of China to DL and the Natural Science Foundation of China of Hebei Province (C2020205005) and China Postdoctoral Science Foundation (2020M670685) to LW.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Preterm birth is associated with a significantly increased risk for childhood and adolescent psychopathology relative to full-term birth, with an inverse relationship between gestational age at birth and later risk for psychopathology. The manifestation of symptomatology and comorbidity profiles of emotional and behavioral adjustment problems in this high-risk group have been shown to be distinct from the broader pediatric population. Acknowledging these differences, a preterm behavioral phenotype has been proposed and increasingly recognized, highlighting the unique, frequent co-occurrence of symptomatology associated with attention-deficit/hyperactivity disorder, autism spectrum disorder, and anxiety disorders. The current state-of-the-art review provides a comprehensive characterization of this phenotype to date and further highlights key knowledge gaps primarily regarding the evolution of symptoms, co-occurrence of disorders and/or symptomatology within the phenotype, and associations of the phenotype with chronological age and degree of prematurity. Preterm birth (<37 weeks gestation) affects approximately 15 million infants and their families around the world, annually, with vast improvements in survival reported in recent times , 3. PretDiagnostic and Statistical Manual of Mental Disorders (DSM) Third Edition Revised (DSM-III-R), Fourth Edition (DSM-IV), or the International Classification of Diseases 10th Revision (ICD-10) in children, adolescents, and young adults aged 10 to 25 years and born preterm or with low birth weight (LBW) compared to full-term peers , and if they made explicit reference to the preterm behavioral phenotype in the background or discussion of the study when interpreting findings. Studies were excluded if they investigated only one of the three phenotype clusters or if they exclusively recruited a medically high-risk preterm sample , due to these groups being less representative of the larger preterm population. In line with Preferred Reporting Items for Systematic Reviews and Meta-Analyses (PRISMA) guidelines , a systeLoe et al. investigDSM-IV disorder, there were significantly more ELBW adolescents meeting criteria for three or more disorders (n=10 vs. 1). In contrast, ELBW adolescents self-reported lower scores on all measures compared to normal birth weight adolescents, with significant differences for item ratings of oppositional defiant disorder and rates of inattentive ADHD and conduct disorder. From ELBW self-reports, there were also no significant differences in the rates of one or more, or three or more, co-occurring disorders. While a strength of this study is the comparison between parent and adolescent reports, a limitation in the current context is the failure of the study to focus specifically on the co-occurrence of disorders within the phenotype. This information would have provided support for the proposed unique pattern of behavioral and emotional difficulties. Methodologically, findings may be further limited by reliance on clinical cutoff thresholds as applied to ratings rather than on clinical psychiatric diagnoses.Taylor et al. is the fKorzeniewski et al. describeFollowing on from this, Samuelsson et al. investigUnlike the previous studies reviewed above, Johnson et al. investigated the comorbidity of cognitive and behavioral outcomes in late to moderate preterm (LMPT) born toddlers in the United Kingdom . This isAnother investigation of the comorbidity of symptoms comprising a potential preterm behavioral phenotype was conducted by Burnett et al. . This stMaintaining the theme of cluster-based approaches, Lean et al. identifiSince the conceptualization of the preterm behavioral phenotype, seven studies have investigated two or three symptom clusters characteristic of ADHD, ASD, or anxiety, with explicit reference to the phenotype in the study rationale or interpretation of findings. Research has increased knowledge of the variable pattern of behavioral and emotional difficulties in the preterm population and of the co-occurrence of symptom clusters within the phenotype. Despite these advances, there are several methodological challenges that continue to hamper our knowledge in this area. The first challenge is the substantial heterogeneity of outcome measures administered in follow-up assessments of preterm samples. As shown in A prevailing limitation of the existing literature is that the manifestation of the preterm behavioral phenotype is very rarely described in relation to underlying etiological mechanisms. Therefore, it remains unclear if the unique comorbid nature of the phenotype has a distinct neurological or psychosocial basis precipitating its development.The impetus to conduct more research on neurological alterations associated with the preterm behavioral phenotype is growing with the increase in magnetic resonance imaging studies of preterm samples. In the preterm population, ADHD has been associated with reduced volumes in total cerebral and frontal areas , 41, venMaternal mental health is another factor that may underlie the unique development of comorbid psychopathology in preterm children . MothersThe primary mechanisms of the preterm birth experience and the resultant maternal mental health can both negatively impact parenting behavior and mother\u2013child relationships , 61, whiEight systematic reviews and meta-analyses have been published since the preterm behavioral phenotype was proposed in 2011 \u201368, eachDSM-IV/V\u2013based conceptualization of the preterm behavioral phenotype is needed in view of the vast variability in the preterm population in etiology, symptom presentation, and comorbidity.Enhancing understanding of the preterm behavioral phenotype will require further investigation of the neonatal, neural, and psychosocial antecedents of the types and comorbidity of behavioral and emotional problems in preterm children. Longitudinal studies are needed to address questions regarding influences on developmental precursors of psychiatric disorders and identification of risk and resilience factors. Finally, critical review of the current The objective of this state-of-the-art review was to comprehensively synthesize and describe the studies characterizing the preterm behavioral phenotype since conceptualization in 2011. Findings confirm the suggestion that children born preterm are at significantly increased risk for symptoms of ADHD, ASD, and anxiety disorders. Although there is some additional support for comorbidity of these three symptom clusters, few studies have investigated the extent to which these clusters occur conjointly as a unitary phenotype, in isolation, or in combination with other behavioral, cognitive, or learning impairments. The pattern of comorbidities associated with preterm birth has implications for neurodevelopmental assessment of children born preterm and for addressing their clinical needs. As profiles of impairment may vary with age, knowledge of comorbidities may be useful in improving early identification of children at the highest risk for ongoing psychiatric disorders. Identification of profiles of comorbidity may also be useful in guiding more individualized approaches to intervention.The corresponding author, SB, had full access to all of the study data and is primarily accountable for all aspects of the work, including the decision to submit for publication. GF conceptualized and designed the review protocol, acquired data, interpreted the results, drafted and revised the initial manuscript, and approved the final manuscript as submitted. GT substantially contributed to the oversight of the conceptualization of the review, interpreted the results, critically reviewed and revised the initial manuscript, and approved the final manuscript as submitted. SB acquired funds and resources, conceptualized the review, supervised the designing of the review protocol and data acquisition, interpreted the results, critically reviewed and revised the initial manuscript, and approved the final manuscript as submitted.This work was supported by a Mater Foundation Principal Research Fellowship to SB and the University of Queensland Research Training Program and Frank Clair scholarships to GF. The funding sources had no role in the writing of the manuscript or in the decision to submit it for publication.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "The functional consequences of the aging brain include several aspects of physical and cognitive decline that ultimately cause loss of mobility and dementia. Although in certain individuals, the cognitive and physical correlates of the aging brain occur in parallel, others show decline in one of these functional parameters. Underlying mechanism of this complex process that lead to different manifestations is not well understood. Proposed mechanisms include brain structural changes, tau pathology, specific white matter degeneration, metabolic derangement mostly including lipids metabolism and others. This symposium aims to address the complexity of the aging brain by showcasing studies that span the continuum from normal aging to dementia using data from the Baltimore Longitudinal Study of Aging (BLSA). The wealth of neuroimaging and phenotype data from the BLSA provides the unique opportunity to investigate neural substrates and predictors of aging phenotype, and mechanisms of age-related neurodegeneration and pathology, such as dementia, and loss of mobility. First, we identify multimodal neuroimaging predictors of important aging phenotypes of gait decline (Sargent/Tian) and memory decline (Bilgel). Second, using advanced quantitative MRI technology, we investigate underlying mechanisms of age-related white matter degeneration through potential oligodendrocyte metabolism (Bouhrara). Third, we demonstrate unique cognitive and neuroimaging profiles of dual memory and gait decline (Tian) and neural substrates for bile acids, the primary cholesterol breakdown products (Varma) in relation to dementia. We seek to generate discussions of mechanisms of the aging brain that connect the age-related phenotypes, such as decline of mobility and cognition, to the development of dementia."}
+{"text": "Thyroid hormone has effects on the skin. Patients with hypothyroidism have changes such as dry, scaly and rough skin. Increase carotene in the dermis becomes a yellowish tone to the skin of the patient with hypothyroidism. There is an increase in capillary cycle (anagen phase) and nail growth and a reduction in eccrine gland secretion. It is a case of primary hypothyroidism with nail manifestations associated with dermatologic disorders and successful treatment with levothyroxine. Receptors for thyroid hormone have already been found in keratinocytes, fibroblasts, hair follicles and sebaceous glands. Genes responsive to thyroid hormones and elements of the hypothalamic\u2013pituitary\u2013thyroid axis were identified on the skin. This report highlights the importance of cutaneous manifestations as markers of thyroid disease. Thyroid hormone effects on the skin.4Male, 58-year-old, seller, referring nail dystrophy in all the quirodactyls and firsCutaneous manifestations are important as external markers of thyroid disease. Thyroid hormone receptors have been found in keratinocytes, fibroblasts, hair follicles and sebaceous glands. Genes responsive to thyroid hormones and elements of the hypothalamic\u2013pituitary\u2013thyroid axis were identified on the skin. Hypothyroidism reduces the activity of enzymes in the cholesterol sulfate cycle, causes changes in the skin barrier, affects the development of lamellar granules (Odland bodies),None declared.Thadeu Santos Silva: Conception and planning of the study; elaboration and writing of the manuscript; obtaining, analysis, and interpretation of the data; critical review of the manuscript.Gustavo Baptista de Almeida Faro: Elaboration and writing of the manuscript; intellectual participation in the propaedeutic and/or therapeutic conduct of the studied cases; critical review of the literature.M\u00e1rcia Gabrielle Bonfim Cortes: and planning of the study; obtaining, analysis, and interpretation of the data; intellectual participation in the propaedeutic and/or therapeutic conduct of the studied cases; critical review of the manuscript.Vit\u00f3ria Regina Pedreira de Almeida Rego: of the final version of the manuscript; elaboration and writing of the manuscript; effective participation in research orientation; critical review of the literature.None declared."}
+{"text": "In Europe, discussions are currently ongoing to harmonize front-of-pack nutritional labelling, while some countries have adopted or are considering implementing the Nutri-Score. However, its adaptability to multiple nutritional contexts in Europe requires further investigation. This study aimed to evaluate the applicability of the Nutri-Score in various European countries, regarding its ability to discriminate the nutritional quality of foods and its consistency with national dietary recommendations. The European Food Information Resource (EUROFIR) nutritional composition databases from eight European countries were used. The distribution of foods across the Nutri-Score classes within food groups was assessed, as well as the discriminating performance of the label, and the adequacy of nutritional recommendations. The Nutri-Score demonstrated high discriminating ability for all food groups, with similar trends in the eight countries, and consistency with nutritional recommendations. For instance, fruit and vegetable products were mainly classified in the two healthiest Nutri-Score categories, while sugar and animal fat products were mainly classified in the two less healthy categories of the Nutri-Score. Our results support the fact that the Nutri-Score would be a relevant tool to discriminate the nutritional quality of products within and across relevant food groups in different European countries, with consistency with nutritional recommendations. In 2017, the European region was the most affected World Health Organization (WHO) region by non-communicable diseases , accounting for approximately 77% of the burden of disease and 88% of deaths . In thisHowever, in view of the plurality of FoPLs on the European market, potentially leading to confusion for consumers, the European Commission has launched discussions among member states on the potential reopening of the INCO regulation , includiMore specifically, the Nutri-Score is a color-coded graded scale of five letters based on the United Kingdom\u2019s Food Standards Agency (FSA) nutrient profiling system (NPS), adapted to the French context by the French High Council for Public Health (HCSP), namely the FSAm-NPS ,19. The Data were retrieved from the European Food Information Resource (EUROFIR), an international non-profit association created to promote international cooperation in the nutrition field, in particular through the collection of validated national nutritional databases . FollowiFood products were categorized according to the EUROFIR classification, grouping foods with similar use and nutritional characteristics . Herbs aThe following elements in the nutritional composition table of each country were required for the calculation of the FSAm-NPS score and thus the Nutri-Score of each food: energy, sugars, fats, Saturated Fatty Acids (SFA), proteins, fiber, and sodium. In order to limit the number of missing data, the content of some nutrients was recalculated using usual equations with other data available in the tables = total protein (g) * 17 + total carbohydrates (g) * 17 + total fat (g) * 38 + alcohol (g) * 29 + total dietary fiber (g) * 8). Moreover, in order to verify the quality of the nutritional composition data, control procedures were performed on variables of interest for the FSAm-NPS calculation, including verification on the total energy content. The analyses were finally carried out on the eight following countries, for which all necessary data were available: Finland, France, Norway, Poland, Portugal, Slovakia, Sweden, and Switzerland. Finally, 11,347 foods and beverages from the eight countries contained data on food composition and classification and were thus used for the analyses. The number of food products available in each group or subgroup varied across countries. In total, 2075 food products were included in the database for Finland, 2309 for France, 1101 for Norway, 919 for Poland, 921 for Portugal, 1183 for Slovakia, 1990 for Sweden and 849 for Switzerland. The flowchart of the food databases used in the present study is described in Based on the nutritional composition for 100 g of food (or 100 mL of beverage), the FSAm-NPS assigns positive points for the amounts in elements that should be limited, including energy (kJ), total sugars (g), SFA (g), and sodium (mg) (0 to 10 positive points for each). Negative points are then attributed to the amount in elements that should be promoted, including fruits, vegetables, legumes and nuts , fibers (g) and protein (g) (0 to 5 negative points for each). The FVLN component was not available per se in the composition tables. Thus, values were estimated for each product, using French generic food composition databases for which FVLN amounts had been estimated ,35,38,39For each main food group and subgroup, the distribution of foods and beverages in the different classes of the Nutri-Score was computed . This distribution was assessed across and within the eight countries. Further, within each main food group and subgroup, the modal class and the percentage corresponding to the predominant Nutri-Score class were calculated. The ability of the Nutri-Score to discriminate the nutritional quality of products within main food groups and subgroups was assessed using the number of available colors in each group. Discriminating performance was considered satisfying when at least three classes of Nutri-Score were available in the food group. In addition, the overall distribution of foods in the different classes of the Nutri-Score was compared with the food-based dietary guidelines from the different countries included in the study and the general guidelines from the WHO . Thus, fOverall, a final sample of 11,347 foods and beverages was used, including 1800 fresh or processed fruits, vegetables and nuts, seeds or kernels; 1898 breads and cereal products; 2506 meat, fish and egg products; 906 milk and dairy products; 336 fats or oils; 2655 composite products; 614 sugar or sugar products; and 632 beverages.Overall, for the eight countries combined, the distribution of the different Nutri-Score classes for each main food group and subgroup is displayed in Overall, in the eight countries combined, at least three classes of the Nutri-Score were observed for all main groups and subgroups, except in the \u201cpulse and pulse product\u201d subgroup, where only two classes of the Nutri-Score (\u201cA\u201d and \u201cB\u201d) were represented. The results on the overall discriminating performance of the Nutri-Score in each country are displayed in In this study, the distribution of foods within the Nutri-Score classes showed a good performance of the FoPL to discriminate the nutritional quality of products within main food groups and subgroups, and across relevant food groups in terms of purchase, use or consumption, with high consistency with official dietary guidelines in the eight countries tested\u2014Finland, France, Norway, Poland, Portugal, Slovakia, Sweden and Switzerland. These results are consistent with other studies using food composition databases of manufactured foods from the French and German markets, therefore validating the ability of the Nutri-Score to discriminate the nutritional quality of products in various sociocultural contexts ,35. A scThe validation of the ability of the Nutri-Score to discriminate the nutritional quality of products in different markets using the FSAm-NPS profile is particularly important to assess its transferability given the current European context. Beyond the country-specific food database, the concordance of our results confirms the performance of the Nutri-Score system in achieving product discrimination in various European countries ,21. OnlyDietary guidelines and FoPLs such as the Nutri-Score are complementary and synergic measures, based on different approaches and principles. Dietary guidelines aim to provide consumers practical guidelines to adopt a healthy diet, by helping them identifying the food groups that should be encouraged and those that should be limited . NeverthThe use of the EUROFIR database, including both generic and specific food and beverages of multiple European countries, is the main strength of the present study. Indeed, it allowed us to perform cross-cultural comparisons of the discriminating performance of the Nutri-Score, particularly important in the current European context of front-of-pack nutritional labelling harmonization. This comparative study across eight European countries remains the first study in terms of the validation of the NPS underlying the Nutri-Score in different sociocultural contexts on a large variety of generic foods. These findings are complementary to studies conducted in other food databases such as Open Food Facts providing data on multiple industrial foods of different brands. However, some limitations should be acknowledged. First, data from EUROFIR were retrieved from different sources and did not allow us to analyze the representativeness of the sample of foods collected in our database. Nevertheless, our objective was to assess the discrimination capacity of the Nutri-Score; we did not need to be exhaustive and the EUROFIR database provided a large number of food products for each country. In addition, some disparities were observed between countries regarding the number of foods available, or even the composition of foods or both. Given these heterogeneities of the database structures, we elected not to perform statistical tests to determine the significance of the intercountry differences. However, only a few countries were concerned, and their results remain consistent with the literature mentioned above. Moreover, several procedures were applied to verify the validity of the data and optimize the number of products in each database. In addition, results on the distribution of foods in the different Nutri-Score classes depended on the EUROFIR classification that was used in the present study. Another limitation of the present study remains the somewhat arbitrary aspect of the measurements of the discriminating performance of the FoPL and the consistency with dietary guidelines. Nevertheless, in the absence of a consensual indicator to which to compare the performance of nutrient profiling, we used a similar methodology to previous studies ,35. FinaOur results provide additional evidence of the relevant application of the Nutri-Score and its adaptability to the European context, particularly in Finland, France, Norway, Poland, Portugal, Slovakia, Sweden, and Switzerland, with regard to discrimination within main food groups and subgroups. This FoPL is notably strongly supported by European consumer associations who launched a petition (\u201cPRO-NUTRISCORE\u201d) in order to encourage the European Commission to change the regulation and make the label mandatory. This study supports the Nutri-Score as an interesting alternative for European countries wishing to implement complementary nutrition labelling on the front of food packaging, and ultimately avoid confusion among consumers through the coexistence of several systems on the European market."}
+{"text": "Canine Morbillivirus is the causative agent of one of the most important diseases in domestic dogs and wild fauna. It belongs to the Paramyxoviridae family, order Mononegavirales, which has a non-segmented, single-stranded linear negative polarity RNA genome , CDV infects multiple species within the Order Carnivora, including several wild species as Canidae, Felidae, Procyonidae, Mustelidae, Hyaenidae, Ursidae, and Viverridae families. CDV infection has also been reported in other Orders such as Rodentia (rodents), Primates, Artiodactyla, and Proboscidea with neurological signs . Both of these belong to the Myrmecophagidae Family , family Choloepodidae, order Pilosa, was reported with clinical signs that included hyporexia, lethargy, mucopurulent nasal discharge, and oral and facial ulcers confirmed as CDV South America/North America-4 lineage and wild and domestic dogs in the United States (North America) , white-lipped peccary (Tayassu pecari), collared peccary (Pecari tajacu), white-tailed deer (Odocoileus virginianus) and the Central American red brocket deer (Mazama temama), carnivores such as the jaguar (Panthera onca), puma (Puma concolor), and ocelot , and insectivores like the giant anteater (Myrmecophaga tridactyla); all of them are mostly forest specialists ranging from ungulates to carnivores and even insectivorous species, and CDV has been reported to infect most of those species , margay (Leopardus wiedii), jaguarundi (Herpailurus yagouaroundi), Jaguars (Panther onca), ocelots , jaguarundis (Puma yaguaroundi), pampas cat (Leopardus colocolo), and other wild canids such as the maned wolf (Chrysocyon brachyurus), crab-eating fox (Cerdocyon thous), hoary fox , striped hog-nosed skunk (Conepatus semistriatus), and coati (Nasua nasua), among others contribute more than 75 % of biomass to the observed diet of the jaguar (Panthera onca) in the Cerrado, central Brazil , another species that has been commonly been reported as being at risk of infection with CDV (Noon et al., In the Mesoamerican and South American areas, CDV has been described as infecting the cougar (Our understanding of the circulation of CDV in the Americas allows us to speculate on the number of critical factors. These factors include the presence of specific viral lineages in large geographical areas, and the susceptibility of circulating species in interconnected regions which favors viral exchange across the continent and represents a risk for wild endangered populations. For this reason, it is imperative to establish not only the dynamics but also diverse aspects of the circulation of CDV among wildlife in the Americas, such as prevalent linages and their associations that would enable us to elucidate the main circulating stains.There is a great possibility that there is an underreporting of CDV infection and that the published cases only represent the tip of the iceberg in the epidemiology of CDV in wild populations in the Americas.We recommend enhancing the monitoring of CDV among wildlife corridors and to evaluate the CDV dynamics among different target populations regardless of whether clinical signs are observed. Moreover, we encourage the implementation of an interdisciplinary approach that would enable us to understand the critical role of high impact/mortality diseases such as CDV on the wildlife conservation. Also we encourage the assessment of the impact of CDV circulation and vaccine coverage of domestic dogs on wildlife epidemics, as this topic has not been evaluated in the America corridor areas.JR-S conceived the study. SR-M, MM-G, JS, and JR-S were involved in all other aspects of the study, including data collection, data analysis, drafting and editing the paper. All authors read and approved the final manuscript.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Coronavirus disease 2019 (COVID-19) has accelerated the adoption of telemedicine globally. The current consortium critically examines the telemedicine frameworks, identifies gaps in its implementation and investigates the changes in telemedicine framework/s during COVID-19 across the globe. Streamlining of global public health preparedness framework that is interoperable and allow for collaboration and sharing of resources, in which telemedicine is an integral part of the public health response during outbreaks such as COVID-19, should be pursued. With adequate reinforcement, telemedicine has the potential to act as the \u201csafety-net\u201d of our public health response to an outbreak. Our focus on telemedicine must shift to the developing and under-developing nations, which carry a disproportionate burden of vulnerable communities who are at risk due to COVID-19. The novel coronavirus disease COVID-19) emerged at the end of 2019 in Wuhan (People's Republic of China) and the viral outbreak was declared as a pandemic by World Health Organization (WHO) on March 11, 2020 9 emerged\u20136. The gPandemics challenge the preparedness of health systems-exposing the structural barriers . Amidst Existing telemedicine frameworks and policies of various countries/regions and their implementation stage are analyzed using Gladhart and Pan The existing telemedicine framework/s across various regions/countries, status or maturity of telemedicine implementation, and various developments or changes that have been adopted during the COVID-19 are summarized. A comparative analysis of existing telemedicine frameworks using Gladhart and WHO/PAHO hat models, their stage, and recommendations from this consortium on improving telemedicine uptake during and beyond COVID-19 have been provided in A 2016 multi-country study by Suzuki et al. assessed the possibility of introducing telemedicine services in several developing Asian countries . IndicatAsian telehealth platforms are reporting drastically increased usages, such as Indonesian telehealth platforms Alodokter, Halodoc, and GrabHealth, driven by government support and recommendation . The DocSingapore is a front-runner in Asia in terms of telemedicine adoption and healthcare system efficiency. In 2018, the Singapore Ministry of Health launched a regulatory sandbox to facilitate innovation and form relationships between the government and telehealth partners . There aFederated National Health Information System.\u201d It proposes to link systems within private- and public-health provider organizations across primary-, secondary-, and tertiary-care value chains , Department of Information Technology, Ministry of External Affairs and MoHFW . HoweverSome of the national projects undertaken by the Ministry of Health and Family welfare are Integrated Disease Surveillance Project (IDSP), National Cancer Network (ONCONET), National Rural Telemedicine Network, National Medical College Network, and the Digital Medical Library Network . The fraCurrently, no national telemedicine framework in Bangladesh exists; and current systems suffer from lack of technological infrastructure, healthcare inequities, and poor treatment quality . The curChina has a sizeable urban-rural health gap, which major telehealth networks such as the International MedioNet of China network, Golden Health Network, and the People's Liberation Army Telemedicine Network have not been able to rectify . In SeptDevelopment of telemedicine in rural health care,\u201d was launched in 2005 within the framework of the state program in 2004 . Its pur program . During ormation . As a paormation . At presormation . This ex country . KazakhsSub-Saharan Africa is a region of swift telehealth development, as program implementation increases, and smartphone penetrance is expected to reach 66% by 2025 . This reTelemedicine is still in its infancy in Africa due to ongoing conflicts and war, inadequate information communication technology (ICT), and lack of funding and political support for technology diffusion and policy . In lighLatin America has one of the fastest-growing elderly populations worldwide and has a big divide in access to healthcare providers between rural and urban regions . A 2019 Targeted government support of telemedicine is needed in this region, as telemedicine in countries such as Mexico falls under the standard practice of medicine regulations, instead of being governed by a focused telehealth department . In 2018Telehealth in the Caribbean is in a relatively early stage, with a lack of cohesive telehealth strategies and policies. The National Health Authority in the Bahamas announced a new Electronic Health Record (EHR) system at the end of 2019 , which rAustralia is in the process of making telehealth implementation more accessible for providers since the COVID-19 outbreak . New MedThe Ministry of Health in New Zealand has released an advisory on available teleconsultation technologies for health care practitioners and best practices around patient privacy . The MedFrench Doctolib and Qare, Swedish LIVI, UK's Push Doctor, and Germany's Compugroup Medical SE have all seen considerable increases in European uptake numbers , telecommunication companies such as BT, Virgin Media, and Sky in the United Kingdom have agreed to support the National Health Services (NHS) in rolling out telehealth for healthcare practitioners . PrimaryIt has been reported that many Italian hospitals lack the infrastructure for effective telehealth platforms, due to supply-chain breakdown and insufficient internet capabilities . Italy avia video or phone consultations by nurses were provided. This was expanded to include teleconsultations by speech therapists on March 25, 2020.The telemedicine regulations in France developed before COVID-19 allowed tertiary and primary care physicians to switch scheduled in-person consultations to teleconsultations, as and when appropriate . All vidDenia Marina Salud Hospital have reported a rapid switch to telemedicine for outpatients and staff conferences to good effect consortium is formed to champion the safety of healthcare workers, policy development, and advocacy for global pandemic preparedness and action.SBh devised the project, the main conceptual ideas, including the proposal for a new telemedicine workflow, the proof outline, and coordinated the writing and editing of the manuscript. SBh and SBr wrote the first draft of the manuscript. SBh encouraged SBr to investigate and supervised the findings of this work. All authors discussed the results and recommendations and contributed to the final manuscript.SP is the Vice President of Immersive Medicine at Luxsonic technologies, a medical technology company specializing in virtual/augmented reality for medical education, collaboration, and training. AAt is the Scientific Founder and Board Member of Rx.Health, and founding chair of NODE.Health . The opinions expressed in this article are those of the authors and do not necessarily represent the decisions, official policy, or opinions of the affiliated institutions. The remaining authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Cellular senescence, the decline of cellular function due to aging, causes gradual loss of physiological functions and induces some chronic diseases, which negatively affect the quality of human life. Intervention in the cellular senescence process may reduce these incidences and delay the progression of age-related diseases, thereby contributing to the longevity of human lifespan. The budding yeast, Saccharomyces cerevisiae, is a model system that can provide significant insights into the genetics and molecular biology of senescence and is a suitable cellular model for research on mammalian cells. In the 2019 GSA meeting, we had revealed that the prolongation of yeast cell lifespan was induced by the addition of immature pear fruits extracts (iPE). In this study, we have focused on investigating the anti-senescence effects of hydrophilic (WiPE) and hydrophobic (OiPE) components of iPE on yeast cells and their genes and their possible application in extending human lifespan. The anti-aging effects of iPE were investigated using a chronological lifespan assay on S. cerevisiae cells. The chronological lifespan of the yeast was significantly extended in those treated with both WiPE and OiPE at 1% (v/v). The expression of sirtuin-related genes, which regulate cellular senescence, was examined by RT-PCR. Interestingly, gene expression was found to be significantly increased only in WiPE treated cells. The results suggested that the different polarity components from iPE exhibited anti-aging effects on the cells via different mechanisms. Research on the identification of useful components in iPE and the possibility of application to mammalian cells is ongoing."}
+{"text": "Each year, billions of ornamental young plants are produced worldwide from cuttings that are harvested from stock plants and planted to form adventitious roots. Depending on the plant genotype, the maturation of the cutting, and the particular environment, which is complex and often involves intermediate storage of cuttings under dark conditions and shipping between different climate regions, induced senescence or abscission of leaves and insufficient root development can impair the success of propagation and the quality of generated young plants. Recent findings on the molecular and physiological control of leaf vitality and adventitious root formation are integrated into a systemic perspective on improved physiologically-based control of cutting propagation. The homeostasis and signal transduction of the wound responsive plant hormones ethylene and jasmonic acid, of auxin, cytokinins and strigolactones, and the carbon-nitrogen source-sink balance in cuttings are considered as important processes that are both, highly responsive to environmental inputs and decisive for the development of cuttings. Important modules and bottlenecks of cutting function are identified. Critical environmental inputs at stock plant and cutting level are highlighted and physiological outputs that can be used as quality attributes to monitor the functional capacity of cuttings and as response parameters to optimize the cutting environment are discussed. Facing the great genetic diversity of ornamental crops, a physiologically targeted approach is proposed to define bottleneck-specific plant groups. Components from the field of machine learning may help to mathematically describe the complex environmental response of specific plant species. Plant propagation is the initial process of producing ornamental crops that already sets the first benchmark for the whole cultivation process by determining the quality of the young plant. Many ornamental plant species are propagated vegetatively by rooting of shoot tip cuttings. Depending on the plant genotype, the developmental stage of the cutting, and specific constellation of environmental factors, impaired vitality of cuttings or insufficient adventitious root (AR) formation in the stem base can cause leaf losses and dying of cuttings or failures in rooting and delayed or uneven root formation among individuals that impairs synchronous subsequent growth. Furthermore, the increasing demand on sustainability of young plant production requires improved propagation protocols that should provide maximum utilization of the genetically determined endogenous potential of the crop.Propagation of ornamental plants by cuttings can be characterized as follows:(1)It involves control of plant development in highly equipped ecosystems, that are mainly determined by technically controlled environmental inputs, for example in greenhouses, growth and storage rooms etc. I propose the term \u201ctechnoecosystems\u201d for such systems.(2)Environmental inputs are highly dynamic, because propagation involves a complex chain of subsequent processes that occur in different environments. Stock plant cultivation and harvest of cuttings occurs in diverse climatic regions far remote from the market of young plants and is followed by packaging, storage, transport, sticking and cultivation of cuttings close to the market.(3)The chain is continuously changing, because new priorities in the society and developing technologies provide new demands and options. Examples are the increasing demand for saving energy and reducing pollution, the changing lighting technology and the up-coming rooting systems that are compatible with transport logistics and sticking robots.(4)Chrysanthemum varieties were submitted to the Community Plant Variety Office , which determines the specific developmental stage as well as the source-sink and hormonal status of the cutting tissues at time of harvest.Important functional modules are the stem base (SB) as zone of root regeneration and of C and N utilization, the upper stem (US) as transport unit for all compounds and as intermediate storage unit of C and N, the fully developed leaves (FL) as source organs for providing C, N and possibly auxin, and the developing leaves (DL) and shoot apex (SA) as competitive utilization sinks for C and N and as potential source (DL) or sink (SA) of auxin.hormone homeostasis, signaling and function control the dedifferentiation (Dediff), induction, initiation and expression of adventitious roots, with Aux/IAA proteins, auxin responsive factor (ARF) transcription factors, GH3 proteins, and cell fate regulating transcription factors (CTF) such as GRAS, AP2/ERF and WOX as important components. Sink establishment and C and N utilization provide building blocks, energy and metabolic signals. Wound-induced accumulation of ethylene (ET) and jasmonic acid (JA), a decrease in levels of root-sourced cytokinins (CK) and strigolactones (SL) due to isolation from the stock plant, and accumulation of IAA contribute to dedifferentiation and induction of ARs. IAA accumulation in the stem base is dependent on auxin re-mobilization from the upper shoot, with DL and FL as potential auxin sources and polar auxin transport (PAT) as important process of translocation.In the SB, leaf retention and greenness by affecting leaf senescence and abscission, with ethylene (ET) and cytokinins (CK) as classical trigger and inhibitors of leaf senescence or abscission, respectively. Whether the principally known agonistic effects of jasmonic acid (JA) and strigolactones (SL) on leaf senescence have relevance to cuttings, requires further investigation. High sugar levels, particularly of glucose can counteract leaf senescence/abscission, possibly via depressed ET signalling.Depending on the sensitivity of the leaves, systemic effects of the changed plant hormone homeostasis may control establishment and the strength of the new utilization sink in the stem base as compared to the competing sink in the upper shoot limits the influx of C and N resources into the stem base. Activity of cell wall invertase (INVcw) as crucial driver of initial sink activity may be under positive control by IAA and JA.The earliness of C and N re-mobilization from the upper shoot, particularly from fully developed leaves is an important process for the delivery of sugars and amino acids (AA) to the utilization sink in the stem base, with sucrose (Suc), asparagine (Asn) and glutamine (Gin) as important components of phloem transport (PT).gross)of gross photosynthesis (P and respiration in the light and in the dark (RLD) determines the carbon gain or loss of the leaf and thus its carbohydrate pool, with starch (Sta) and Suc as intermediate storage and main export fraction, respectively, while glucose (Glu) and Fructose (Fru) are locally utilized.The balance assimilation of nitrate and ammonium, that have been initially delivered from the root system of the stock plant, determines one influx of N into the AA and protein (Prt) pools, while competing with the sugar pool for C skeletons. Under prolonged dark conditions of whole cuttings that deplete the carbohydrate pool of leaves, leaf metabolism is readjusted towards a survival strategy, resulting in accumulation of AA, while proteolysis contributes to this process. If the released AAs are further catabolized to free ammonium, this may trigger leaf senescence.Light-dependent Depending on the plant genotype and configuration of environmental inputs at stock plant and cutting level, different processes may constitute the bottleneck (B) of cutting function .Rosa or Hydrangea macrophylla, can exhibit low rooting capacity in dependence on the specific genotype , no or few ARs will be formed. Cuttings, particularly of woody ornamentals such as genotype or when genotype . The undgenotype . In somegenotype , 2019. Ipulation . However factors requiresIf AR source cells require dedifferentiation before AR induction, early wound induced accumulation of ET and JA, together with CKs may contribute to this process by enhancing auxin responsiveness (see B1)If AR source cells are root competent , AR induction is dependent on local accumulation of IAA and further supported by a decrease in levels of the antagonistic CKs and SLs. Cutting off from (a) the root-ward auxin-drain and (b) the root-sourced delivery of CKs and SLs initiates these changes which may be supported by local IAA biosynthesis or release from auxin conjugates .In intact plants, IAA is synthesized in young expanding leaves and is in the stem either transported root-ward by polar auxin transport (PAT) in xylem parenchyma and cambium cells or co-transported in the phloem associated with assimilate transport (AT) , while iInitiation and expression of ARs requires a decrease of IAA and probably also of the physiologically active conjugate of JA after the induction phase. Obviously, upregulation of specific GH3 proteins that function as acyl acid amido synthetases conjugating IAA or JA to specific AAs has an important role for this dynamic . IAA levTemporal courses of carbohydrates and amino acids (AA) in the stem base of cuttings during rooting and the B7a) or N source (B7b) may limit rooting (If the sink in the SB is sufficiently high to attract resources (B6), their influx can be limited by the source capacity of the upper shoot, with the fully developed leaves (FL) as main source organs . Dependi rooting . The ava rooting , while c rooting . The lev rooting .Senescence or abscission of leaves can impair the visual quality and vitality of cuttings and may finally cause decay and loss of whole cuttings. Changed concentrations in cuttings particularly of ET, JA, and CK in response to their excision have consequences for leaf senescence and/or abscission when the changed hormone homeostasis meets the respective responsiveness of the leaf . Both, t2 on the C gain of cuttings, distinct effects of light spectrum may involve changes of auxin homeostasis and signaling (Serendipita indica (former Piriformospora indica) at stock plant or cutting level on leaf vitality and AR formation may involve changed C source and hormone signaling in cuttings. However, effects of such inoculations are highly variable and even include negative effects on AR formation, when comparing different environmental conditions, modes of inoculation and plant genotype on rooting of cuttings are unclear , monitorcuttings . In addicuttings . Howevergross. One of the most frequently used non-invasive tools for chlorophyll analysis in plant leaves is the Soil Plant Analysis Development (SPAD) chloropht (SPAD) . This tot (SPAD) . Very hit (SPAD) . Howevert (SPAD) . Digitalt (SPAD) is one at (SPAD) and are t (SPAD) .Infrared gas analyzers can be used to determine the current carbon gain of cuttings or cutting leaves under the condition of measurement, which may, however, differ from the real conditions of rooting depending on the used measuring system . Use of Considering that sugars and of AA in source tissues of cuttings reveal important fractions for the crucial C and N re-mobilization, analysis of their levels provides important information about the C and N source limitation of rooting . The N sARF and GH3 genes (Since hormone levels in the cutting tissues have decisive functions in leaf senescence and AR formation, their analysis can discover important bottlenecks of cutting function. Whereas commercial systems are available to measure ET emission by plants in closed environments such as storage packages or boxes , analysiH3 genes , RNA-basThe high complexity of highly dynamic environmental inputs in young plant production by cuttings and responding metabolic and hormonal pathways is a chaAll datasets generated for this study are included in the article/UD wrote the article.The author declares that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "The discovery of COVID-19 was linkedto the Huanan seafood market in Wuhan, China. As of February 27, 2020, there have been 82\u2009294confirmed cases globally with the first case in New Zealand.Because Samoa is an international tourism destination and, coupled with her conservativenature, is highly susceptible to an outbreak of COVID-19 if strict public health regulationsare not enforced. This is imperative considering the extent of spread and rapidity of virustransmission, especially among vulnerable populations. The rise of COVID-19 brought back thehorror of the last measles epidemic in Samoa and some Pacific Island countries. The gradualdecline in the measles epidemic trend was met with a sedulous approach toward case diagnoses,detection, and confirmation. It further stresses the importance of having well-equippedstate-of-the-art diagnostic health facilities, public health disease control centers, andhighly trained infectious disease personnel. This is a necessity for early disease detectionand diagnosis to prevent the occurrence of an epidemic of COVID-19 in Samoa.2 The successful implementation of this action plan is determined by many factors inindividual countries, and it mostly involves a cohesive teamwork between the local Ministry ofHealth and the Joint IMT composed of representatives from WHO and regional donor partners suchas Australian Department of Foreign Affairs and Trade (DFAT), New Zealand Ministry of ForeignAffairs and Trade (MFAT), Pacific Community (SPC), and the United Nations Children\u2019s Fund (UNICEF).2 The establishment and activation of Samoa\u2019s Health Emergency Operations Centre (HEOC)through the Ministry of Health (MOH) is a step forward for Samoa in preparation for COVID-19to enhance health sector surveillance, coordination, and provision of situational analysisupdates.It suffices to reason that the small Pacific Island countries could defeat an outbreak ofCOVID-19 by benchmarking and collaborating with both regional and internationalmultigovernment institutions for technical and financial support. The COVID-19 Joint IncidentManagement Team (IMT), coordinated by the WHO office in the Pacific, has developed and isimplementing a 6-month Pacific Action Plan for COVID-19 Preparedness and Response.2 The MOH has also put in place some public health measures against COVID-19 on theministry\u2019s website to ensure the general public is updated about the ongoing pandemic and, most important, to beaware of prevention and management strategies against COVID-19.Similarly, ongoing are campaigns on epidemic preparedness via leveraging on availableresources, capacity building; procurement of laboratory packaging and personal protectiveequipment (PPE); appropriate identification of isolation and quarantine facilities; anddeveloping case management protocols and strengthening communications to raise publicawareness and counter rumors and misinformation."}
+{"text": "The Research Centers in Minority Institutions (RCMI) Program was congressionally mandated in 1985 to build research capacity at institutions that currently and historically recruit, train, and award doctorate degrees in the health professions and health-related sciences, primarily to individuals from underrepresented and minority populations. RCMI grantees share similar infrastructure needs and institutional goals. Of particular importance is the professional development of multidisciplinary teams of academic and community scholars (the \u201cworkforce\u201d) and the harnessing of the heterogeneity of thought (the \u201cthinkforce\u201d) to reduce health disparities. The purpose of this report is to summarize the presentations and discussion at the RCMI Investigator Development Core (IDC) Workshop, held in conjunction with the RCMI Program National Conference in Bethesda, Maryland, in December 2019. The RCMI IDC Directors provided information about their professional development activities and Pilot Projects Programs and discussed barriers identified by new and early-stage investigators that limit effective career development, as well as potential solutions to overcome such obstacles. This report also proposes potential alignments of professional development activities, targeted goals and common metrics to track productivity and success. Achieving long-term health and wellness in communities that suffer disproportionately from racial, ethnic, environmental, and social and/or economic inequalities and inequities demands building institutional capacity and enhancing infrastructure on many levels. Particularly at institutions of higher education and health-professions schools, a major component of this infrastructure is the professional development of diverse teams of academic and community scholars (the \u201cworkforce\u201d), who understand the challenges faced by underserved and vulnerable populations because of shared life experiences (the \u201cthinkforce\u201d), to collaboratively explore and identify the causes of health disparities, to design and test the best measures and methods for studying health disparities, and to develop and implement the most effective and culturally appropriate interventions for reducing and eliminating health disparities ,2,3. FunHouse Report 98-911, attached to H.R. 6028 , provided the original language to establish research centers in predominantly minority institutions, which offered doctoral degrees in the health professions and/or the health-related sciences to individuals from underrepresented, underserved, and minority populations [Originally administered by the National Center for Research Resources (NCRR), of the National Institutes of Health (NIH), the RCMI Program provided support to two inaugural institutions: Florida Agricultural and Mechanical University (FAMU) and Ponce School of Medicine (PHSU). The next cohort, in 1986, included Clark Atlanta University, Meharry Medical College (MMC), University of Hawaii at Manoa (UHM), and University of Puerto Rico Medical Sciences Campus (UPR-MSC), followed in 1987 by Howard University (HU) and Morehouse School of Medicine (MSM). The annual operating budget of the fledgling RCMI Program, initially less than $1 million, has grown to more than $74 million in FY2020. Such growth has been justified by the successful leveraging of RCMI funds by RCMI grantee institutions and supported through strong congressional advocacy.As part of the NIH reorganization to create the National Center for Advancing Translational Sciences (NCATS), NCRR was dismantled in 2011 , and theA principal goal of the RCMI Specialized Centers is to create environments conducive to career enhancement for all investigators, and particularly women, persons with disabilities, and those from racial and ethnic groups which are underrepresented in biomedical research, as defined by the National Science Foundation . These environments are designed to assist investigators in becoming more successful in obtaining competitive extramural funding for basic biomedical, behavioral, clinical and/or population health research on diseases and conditions that disproportionately affect the health and well-being of ethnic minority and other underserved and marginalized communities, including the poor, homeless, rural persons, sexual and gender minorities, and recent immigrants. Another goal of the RCMI Centers is to strengthen and sustain partnerships with community-based and other non-academic organizations that reach the intended underserved populations to collaborate on the dissemination and implementation of culturally appropriate and contextually relevant interventions for health promotion and disease prevention. In short, the RCMI Centers are meant to diversify the workforce, enhance the quality of scientific inquiry, and promote collaborative research that improves minority health and reduces long-standing health disparities.As instructed in the funding opportunity announcements RFA-MD-17-003, RFA-MD-17-006, RFA-MD-18-018, issued by NIMHD, each RCMI Specialized Center had to be structured with four distinct cores: Administrative Core (AC), Community Engagement Core (CEC), Investigator Development Core (IDC), and Research Infrastructure Core (RIC). The primary goal of the IDC is to create a supportive career development milieu for post-doctoral fellows, junior faculty, and other early-stage investigators to conduct hypothesis-driven basic biomedical, behavioral, and/or clinical research that results in significant return on investment, as measured by peer-reviewed publications in high-impact journals and successful NIH grant applications, among other metrics. The IDC is also expected to develop and implement a Pilot Projects Program to provide funding on a competitive basis to new and junior investigators.The shared goals and expected functions of the RCMI IDC provide an unparalleled opportunity to improve coordination, increase efficiency and leverage resources for professional development across all RCMI Centers. Accordingly, the primary objective of the RCMI IDC Workshop, held in conjunction with the RCMI Program National Conference in Bethesda, Maryland, in December 2019, was for IDC Directors to meet each other and to learn first-hand about the professional development activities and Pilot Projects Program at each RCMI Center with the goal of stimulating problem-solving discussions around common challenges to strengthen each RCMI Center and the collective RCMI Program. The near-term desired outcome was relationship building to facilitate the development of an IDC Consortium, comprising RCMI IDC Directors, which would meet regularly to enhance resource sharing to build a diverse workforce and thinkforce to reduce health disparities.The logistics and organization of the IDC Workshop were handled by the Research Coordinating Center, of the former RCMI Translational Research Network ,5, and tThe workshop started with an Information-Sharing Session to allow each Center to present a brief summary of their IDC activities, focusing primarily on professional development activities and on the Pilot Projects Program. Because the RCMI Centers have different project start dates, and because some RCMI Centers were transitioning from funding through the prior G12 funding mechanism while other RCMI Centers had no previous RCMI funding history, some Centers had data about the number of Pilot Projects Program project proposals received and reviewed, whereas other Centers were limited to presenting their plans. Nevertheless, the final slide of each presentation was devoted to articulating challenges and barriers to effective execution of IDC activities.Next, during the Problem-Solving Session, the IDC Directors and other workshop participants discussed the challenges and barriers encountered in implementing mentoring efforts and the Pilot Projects Program. Participants also shared potential solutions, and discussed milestones and common metrics to better track progress and to arrive at best practices and harmonization.Both the Information-Sharing Session and the Problem-Solving Session were informed by data collected from RCMI Investigator Needs Assessment Surveys, previously performed by the RTRN Research Coordinating Core. That is, the barriers and obstacles to optimal mentoring and professional development, as well as potential solutions, were those articulated by basic biomedical, behavioral, and clinical researchers at all academic levels, including junior investigators, who played a significant role in providing input through their real-life experiences.Finally, during the Networking and Evaluation Session, participants completed an evaluation survey about the workshop and were allowed time for unstructured interactions and relationship building to form the basis for the establishment of the envisioned IDC Consortium and sustained engagement of IDC Directors to achieve shared goals.The IDC Workshop was well attended, with active participation from 14 RCMI Centers: FAMU, FIU, HU, MMC, MSM, MSU, PHSU, SDSU, Tuskegee University (TU), UCR, UHM, UPR-MSC, University of Texas at El Paso (UTEP), and Xavier University of Louisiana (XULA). Each Center provided an overview of their mentoring and investigator development activities, as well as Pilot Projects Program.Common features were evident in the IDC of each RCMI Center. Specifically, the IDC provided personalized mentoring in scientific and career development to junior and early-stage investigators, as well as senior postdoctoral fellows. The IDC Directors acknowledged that effective mentoring was a key factor to successful career development. However, the process of identifying promising junior investigators and matching them with mentors who are compatible in terms of their personality, temperament, scientific knowledge, history of NIH funding, and mentoring skills is not fool proof and requires thoughtful, personalized attention. Research networking tools, such as the open-source Profiles Research Networking Software originally developed by Harvard Medical School and enhanced by the University of California San Francisco , can proInvestigator development activities at nearly all RCMI Centers consisted of developing mentoring teams, providing grant writing workshops, and arranging seminars, featuring internal and external researchers speaking about their research and topics related to health disparities and professional development. Importantly, junior investigators were provided opportunities to meet with speakers to foster mentorship and collaboration.The HU IDC presented a systematic and methodological program to fast track the development of junior faculty and early-stage investigators, using a tri-faceted approach that involved providing pilot seed-grant support, coordinating comprehensive career mentoring that included both discipline-specific research and professional advancement mentoring, and offering professional development trainings relevant to early-stage investigators .At FIU, mentoring activities were largely outcomes-driven and closely linked with the Pilot Projects Program. Recipients of pilot funding met regularly with RCMI faculty and other awardees for advice and support, with linkages to RCMI research training, RCMI research opportunities, RCMI community connections, and career development activities through the RCMI and other university-wide programs.Similarly, the FAMU IDC and MMC IDC focused mentoring efforts and other professional development activities and resources on recipients of pilot funding. MMC investigators were able to request a Studio ,9, whereThe SDSU IDC provides two avenues for career enhancement: a year-long program to awardees of pilot project funding, and open-forum career enhancement activities for all interested parties. For pilot project awardees, the SDSU IDC offers highly structured monthly mentoring sessions that cover wide-ranging topics, including individual development plans, project management, data management and safety, and optimizing success. The open-forum career enhancement activities generally focus on a specific topic or skill, such as how to select an appropriate electronic data capture system, how to effectively partner with external organizations on minority health and health disparities research, among others.The MSM IDC was built on the foundation of their well-developed Mentoring Academy that worThe MSU IDC provided a summer mini-sabbatical for its RCMI investigators to build collaborations at partnering institutions in Baltimore, such as the University of Maryland and Johns Hopkins University School of Medicine.The PHSU IDC provided a two-year program, known as Strategic Academic Research Training (START), to approximately six scholars per year. Emphasis was placed on enhancing the diversity that their scholars brought to the scientific workforce.At TU, mentoring and professional development activities were focused on early-stage investigators. In addition, the IDC was intent on supporting senior or established investigators, who were transitioning into research on the science of health disparities from non-biomedical fields or biomedical fields not directly related to minority health and health disparities.The UCR IDC\u2019s Big Feasible and Fundable Seminar Series was linked with the AC\u2019s Interdisciplinary Research Workgroups to create pipelines for identifying and recruiting junior investigators and to facilitate their acquisition of essential skills in communicating and collaborating across disparate disciplines. That is, Individual Multidisciplinary Mentorship Teams comprised mentors from within the trainee\u2019s discipline and from complementary disciplines.At UPR-MSC, IDC mentoring activities included informal meetings, rehearsal of scientific presentations, discussion of topics relevant to successful transition to running a lab (using the best-seller book: \u201cAt the Helm: Leading your Laboratory\u201d), and mock study sections. Trainees regularly review their five-year plans for grants, publications, and promotion.At UTEP, the IDC uses a \u201csynergy = success\u201d model, which incorporated the commitments of multiple stakeholders at the university, programmatic, and external levels to ensure sustained support of RCMI investigators. Apart from intensive training on grant writing, course release was offered to investigators in exchange for preparing and submitting grant applications, and senior postdoctoral fellows and senior investigators were provided opportunities to secure short-term starter funds and bridge funds, respectively.At XULA, the matching of junior investigators with collaborators and mentors occurred even before new faculty were officially recruited and multiple activities linked early-stage investigators, mid-career faculty and research scientists to RCMI and non-RCMI resources.Professional development activities for new and early-stage investigators at RCMI Centers can be generally grouped into three categories: Professional Conduct, Research Resources, and Career Skills and Knowledge. As an illustration, Through input from junior faculty at their institutions, the IDC Directors reported multiple barriers and obstacles to professional development . Among tIn addition to needing compatible mentors, junior faculty frequently mentioned other barriers to professional development, including their lack of knowledge about finding funding and training opportunities; the lack of pre-award grant application preparation; the lack of internal grants review system; the lack of bridging funds to continue while awaiting funding decisions.Apart from individual barriers to professional development, there were institutional obstacles that limited the growth of a diversified workforce for research on the science of minority health and health disparities at RCMI Centers. For example, institutional hiring freezes, limited institutional start-up funds for newly recruited faculty, insufficient grants development support, high administrative leadership turnover, and lack of positions for postdoctoral fellows in the absence of training grants, both individually and collectively, stifle the growth of a critical mass of investigators in specific research areas. In addition, broken promises and unfulfilled commitments by institutional leadership have occurred because of changes in organizational structure and/or changes in administration, as well as downturn in financial wellbeing.For each barrier and obstacle, potential solutions and enablers were identified to optimize mentoring and professional development of new and early-stage RCMI investigators . A possiCoordinating and leveraging the IDC infrastructure of the RCMI Centers, as well as engaging non-RCMI programs, including the Clinical and Translational Science Awards (CTSA), Institutional Development Award (IDeA), Centers for AIDS Research (CFAR), and Transdisciplinary Collaborative Centers (TCC), to serve on mentoring teams will accelerate attainment of research independence of early-stage RCMI investigators. Intensified engagement with the RCMI IDC Directors and the formation of an IDC Consortium would facilitate better alignment of professional development activities across the RCMI Centers . For exaThe IDC of each RCMI Center is expected to develop and manage a Pilot Projects Program to provide funding through a competitive process to RCMI investigators. Inherent in this approach are the expected outcomes of accelerating the pace of scientific discovery, heightening research productivity, increasing competitiveness for mainstream extramural funding, and ultimately improving the health of the nation. Currently, the awards for such pilot projects have ranged between $30,000 and $50,000 per year. For most RCMI Centers, the funding period for pilot projects was one year, but in the case of UPR-MSC, XULA, and SDSU, two or more years of support were granted. More than one year of funding was deemed especially necessary for community-engaged research projects. Thus far, the number of awards has varied from two to five pilot projects per year. However, insufficient data were available from many of the Pilot Projects Programs to assess success or return on investment.The FIU Pilot Projects Program planned to fund up to five pilot projects per year, with a goal of up to 20 projects during the five-year funding cycle. To date, eight FIU junior faculty have been funded, and each is preparing an NIH grant application .The UCR Pilot Projects Program provides support through four mechanisms: (1) Fostering Interdisciplinary Research-early STage Awards (FIRST Awards) serve as transition awards aimed at increasing competitiveness at obtaining external funding; (2) Pilot Interdisciplinary Collaborative grants (PIC Grants) seek to support goals of interdisciplinary research working groups; (3) Interdisciplinary Research Work Group Awards (IRWG Award) funds problem-focused interdisciplinary health disparities research; and (4) Continuity Collaborative Fellowships are awarded twice a year to fill gaps in research and database management in ongoing community-based research projects, conducted by graduate students or postdoctoral fellows.The XULA Pilot Projects Program, which focuses on early-stage investigators engaged in clinical and population research involving cancer health disparities, solicits applications jointly with the Louisiana Cancer Research Center (LCRC) and Project Pathways, of the Building Infrastructure Leading to Diversity (BUILD) program. Of 16 pilot applications submitted in 2019, three were funded through RCMI, three with LCRC, and six by BUILD.The MSM Pilot Projects Program involves a letter-of-intent. In 2019, full applications were invited from five of 11 investigators who originally submitted a letter-of-intent, and two awards were made. Applicants who were not funded were encouraged by the IDC to revise and resubmit their applications to the next round or to submit to other funding agencies.The UHM Pilot Projects Program also has a two-phase process. In the first phase, one-page abstracts and NIH Biosketches of the applicant(s), mentors and collaborators are reviewed by the principal investigators and core directors. In the second phase, invited full applications are evaluated by outside reviewers. Over three funding cycles, 83 abstracts were received and 37 full applications were invited, from which 15 pilot awards were made, resulting in 71 publications and 34 new grants .The HU Pilot Projects Program has had similar outcomes from seven pilot awardees, who have been responsible for 31 publications and 11 new grants, with a return on investment of 6.4 over two funding cycles.The RCMI Centers identified multiple barriers to the effective implementation of the Pilot Projects Program . Among tPotential solutions were identified to optimize the implementation of the Pilot Projects Program at RCMI Centers . As in mHeavy teaching loads for junior faculty and insufficient protected time for clinicians served as major deterrents to preparing proposals for Pilot Projects Programs. Finding solutions to these barriers is not a simple matter. Institutional investments are required at the department and college or school level. Particularly for newly hired basic scientists, a one- or two-year postponement of teaching obligations, coupled with intensive mentoring, would heighten the probability of grant success. Similarly, providing several months-long periods of protected time for clinical faculty would likely boost the number of grant proposals submitted and the likelihood of success, and once such faculty garner grant support, their mentors and IDC Directors should serve as strong advocates to negotiate reductions in teaching loads and clinical assignments.Alignment or harmonization of the processes and procedures of the Pilot Projects Programs at RCMI Centers would result in the achievement of specific goals each year . For exaContinued assistance to RCMI investigators whose applications were not selected for funding would constitute another way to align Pilot Projects Programs. That is, the professional development function of the IDC Consortium should be inextricably linked with the Pilot Projects Program function. The annual outcomes and goals in The opportunity for IDC Directors to meet face-to-face, nearly all for the first time, and to share their experiences, as well as to discuss their challenges at the IDC Workshop, has laid the foundation for the creation of an IDC Consortium, comprising the IDC Directors from RCMI Centers, to work collaboratively to overcome obstacles in professional development activities and to promote greater efficiency in the review process of pilot project proposals. The newly funded RCMI Coordinating Center will serve as a communications hub to facilitate the scheduling of regular meetings of the IDC Consortium and to coordinate continued interactions, resource sharing and problem solving to achieve the collective goals of advancing the careers of underrepresented minority investigators and those conducting minority health and health disparities research.By leveraging the leadership, expertise and talent of the RCMI IDC Consortium, there is every expectation that performance outcomes will improve and productivity measures will increase at individual RCMI Centers and in the overall RCMI Program. Although there are institution-specific barriers to building research capacity , there aJunior RCMI faculty do not typically encounter institutional racism, discrimination and/or bias, in large part because all RCMI grantee institutions serve predominantly racial and ethnic minorities and individuals from disadvantaged socio-economic backgrounds, and because many senior RCMI faculty and IDC Directors have themselves experienced hardships and barriers and understand the challenges faced by junior faculty. The lack of generational pipelines and access to academia is a well-known barrier to success. While not mentioned or discussed during the workshop, persistent barriers to professional development in the Science, Technology, Engineering, Mathematics, and Medicine (STEMM) pipeline perpetuate racial disparities in academia. Solutions lie in earlier exposure and access to resources, supportive mentoring networks, and comprehensive training programs for racial and ethnic minority students and trainees at each career stage . MultiplIn addition to monthly IDC Consortium-wide meetings, periodic regional meetings based on geography and time zones might further strengthen relationship building, enhance resource sharing, and facilitate and expedite the review of pilot project proposals. Currently, there are 21 RCMI Centers, distributed in 12 states, the District of Columbia, and Puerto Rico. Each regional sub-consortium could comprise four or more RCMI IDC , and theProfessional development activities are also enhanced through resources within the RIC and CEC of each RCMI Center, as well as leveraged through considerable resources available in collaborations and partnerships with other NIH-funded infrastructure programs, such as CTSA, IDeA, CFAR, and TCC, at non-RCMI grantee institutions ,23. MoreCommunity-driven and culturally relevant solutions to eliminating health disparities necessitate the creation of a supportive mentoring milieu to accelerate the career development of diverse and multidisciplinary teams of scholars (the \u201cworkforce\u201d) and to harness the heterogeneity of their thought and thinking (the \u201cthinkforce\u201d). That is, only by embracing and celebrating the power of different perspectives, tempered by unique lived experiences and influenced by cultural and indigenous beliefs, as well as age-old community practices and norms, can one expect to pose previously unasked research questions and to design distinctly alternative approaches that lead to innovative interpretations of data and sustainable strategies for disease prevention and health promotion for underserved populations and marginalized communities. The IDC Consortium provides an exciting platform for productive interactions that foster the sharing of research resources and human capital across the RCMI Centers to hasten the acquisition of new knowledge to improve minority health and to reduce health disparities. Such interactions are also likely to strengthen and sustain inter-institutional collaborations and partnerships with non-RCMI grantee institutions ,23."}
+{"text": "The 9th Conference of the International Society for Integrated Disaster Risk Management (IDRiM) was held in Sydney on 2\u20134 October 2018. The event was hosted by Data61, the data innovation hub of Australia\u2019s National Science Agency CSIRO. The IDRiM annual conference series traditionally brings together researchers and practitioners across all disciplines of disaster risk management (DRM) and the Australian instalment was no exception. More than 120 participants from 20 countries attended the congress, representing all sectors of DRM including academia, industry, and governmental agencies, to exchange on ideas and best practices through a mix of plenaries, presentations, panel discussions, and poster sessions.Data-Driven Approaches to Integrated Disaster Risk Management, mirrors the overarching theme of the 2018 IDRiM conference, which set out to explore the ever-increasing role of data in all areas of disaster risk and emergency management. The articles included in this special issue have been selected to represent the diversity of data-driven approaches under active development for DRM. They are also illustrative of the multidisciplinary nature of DRM, its applications ranging from natural hazards to man-made disasters or even a combination of the two. All four phases of DRM, namely prevention (or mitigation), preparedness, response, and recovery are covered in this volume, and many of the themes that were extensively discussed during the conference are further explored here.This special issue, entitled In the prevention phase, data science and analytics can inform us on the potential impact of both natural hazards and man-made disasters to help protect the ecological diversity of our environment and make better long-term choices and investments, which in turn will improve the safety and welfare of our communities, as discussed in Liu et al. In this context, the ability to access extensive databases is a critical element of building evidence-based strategies for prevention and preparedness purposes . Important challenges remain, however, when dealing with heterogeneous sources of data and several of the technologies presented in the special issue aim to address the issues of data collection, data curation, and data sharing to dramatically improve such cross-disciplinary collaboration .Digital technologies such as smartphones have become ubiquitous in modern life, but their application to DRM has yet to be fully realized. An example of such application is discussed in Yamori and Sugiyama, where a smartphone app was developed to increase the preparedness of the local community by simulating tsunami evacuation drills. Another example of the potential application of digital technologies is the development of evidence-based decision support systems both for planning and operational (response) purposes. As the volume and accuracy of available data increase, a number of initiatives around the world have been focussing on developing such systems in recent years to help emergency coordinators make informed decisions. Two of the articles in this special issue discuss these concepts as applied to storms, floods, and landslides in Japan (Takenouchi and Yamori) and debris flows in Indonesia .Improved resilience is achieved through risk assessment and risk reduction, which in turn implies understanding and reducing various sources of uncertainty in the data and in the processes at play. Two articles propose methodologies to address these important issues in the context of hurricane vulnerability and post-earthquake lifeline systems recovery (Deelstra and Bristow). This last article in the volume also exemplifies that perhaps one area where the unrealized potential of data-driven approaches is the most evident is in fact in the post-disaster recovery phase. The premise here is to help communities regain a sense of stability and rebuild faster after being struck by a disaster.Each of the articles in this special issue may be briefly summarized as follows:Variability in Regional Ecological Vulnerability: A Case Study of Sichuan Province, China by Yimeng Liu, Saini Yang, Chuanliang Han, Wei Ni, Yuyao Zhu. The authors developed a data-driven method to assess the vulnerability of ecological systems to external stress factors such as natural hazards and human activities. They found that for the case study of Sichuan Province, anthropogenic construction activities increased ecological vulnerability more than any other factors considered, including natural hazards.Seismic Policy, Operations, and Research Uses for a Building Inventory in an Earthquake-Prone City by Ken Elwood, Olga Filippova, Ilan Noy, Jacob Pastor Paz. A building inventory database integrating datasets from multiple sources was created for the city of Wellington, New Zealand to manage the risks associated with earthquake events. The multiple uses of such a database discussed in this article, ranging from planning to response, highlight the importance of easily accessible data in the decision-making process.Disaster Risk Management through the DesignSafe Cyberinfrastructure by Jean-Paul Pinelli, Maria Esteva, Ellen M. Rathje, David Roueche, Scott J. Brandenberg, Gilberto Mosqueda, Jamie Padgett, Frederick Haan. This article presents a cloud-based cyber-infrastructure platform designed to address the challenges associated with collecting, curating, sharing, and analyzing heterogeneous datasets for disaster risk management purposes. The article discusses the application of this multi-disciplinary tool to several cases including soil liquefaction, seismic risk analysis, and hurricane recovery.Extracting Natech Reports from Large Databases: Development of a Semi-Intelligent Natech Identification Framework by Xiaolong Luo, Ana Maria Cruz, Dimitrios Tzioutzios. This contribution explores the use of machine learning algorithms to extract information about natural hazard-triggered technological accidents from large databases for risk management purposes. It provides an example of using state-of-the-art computing technologies to realize the potential of available data for disaster risk management.Development and Social Implementation of Smartphone App Nige-Tore for Improving Tsunami Evacuation Drills: Synergistic Effects between Commitment and Contingency by Katsuya Yamori and Takashi Sugiyama. Nige-Tore is a smartphone app that allows the user to participate in a tsunami evacuation drill. Participants take actions and choose escape routes based on real-time updates of a simulated tsunami displayed on a map. The authors discuss at length the benefits and challenges of the human-digital technology interactions brought about by this app, and explore how these new technologies may be useful resources to improve our preparedness for natural hazards and disasters.Synergistic Integration of Detailed Meteorological and Community Information for Evacuation from Weather-Related Disasters: Proposal of a \u201cDisaster Response Switch\u201d by Kensuke Takenouchi and Katsuya Yamori. The importance of high-resolution meteorological data and weather forecasting models is discussed in the context of several common hazards in Japan, namely storms, floods, and landslides. From the results of this study it is apparent that the development of data-driven decision support systems is critically needed to assist local authorities develop appropriate and evidence-based emergency response, and to determine the timing of an evacuation.Na\u00efve Bayes Classifier for Debris Flow Disaster Mitigation in Mount Merapi Volcanic Rivers, Indonesia, Using X-Band Polarimetric Radar by Ratih Indri Hapsari, Bima Ahida Indaka Sugna, Dandung Novianto, Rosa Andrie Asmara, Satoru Oishi. A debris flow disaster warning system for a volcanic region in Indonesia is presented. The method estimates debris flow susceptibility through a simple data mining approach. The study also highlights the need for higher-resolution data to improve the robustness of the model.Uncertainty Reduction through Data Management in the Development, Validation, Calibration, and Operation of a Hurricane Vulnerability Model by Jean-Paul Pinelli, Josemar Da Cruz, Kurtis Gurley, Andres Santiago Paleo-Torres, Mohammad Baradaranshoraka, Steven Cocke, Dongwook Shin. This contribution discusses the issue of epistemic uncertainty and approaches for uncertainty reduction with hurricane vulnerability as a case study, in the context of insurance claims. By integrating various sources of data augmented claims may be constructed, which then facilitate the development of a vulnerability model.Characterizing Uncertainty in City-Wide Disaster Recovery through Geospatial Multi-Lifeline Restoration Modeling of Earthquake Impact in the District of North Vancouver by Andrew Deelstra and David Bristow. The authors studied, through a data-driven modeling approach, the recovery of lifeline systems in the earthquake-prone area of the district of North Vancouver. One of the uses of their model is to determine which systems are more likely to be restored first following a disaster and to allocate resources accordingly to accelerate the overall recovery process.Following the 2018 IDRiM conference in Australia, the next congress was held in Nice, France, in October 2019 and focused on \u201cknowledge-based disaster risk management\u201d thus expanding on the notions of information and data science applied to risk reduction, resilience, and sustainable development. Two major events in 2019-2020 dramatically illustrated the relevance of these two themes of data- and knowledge-based approaches for disaster risk management.The first was the catastrophic bushfire season that occurred across six states in Australia between the second part of 2019 and ended in May 2020. This event caused 34 direct fatalities and in excess of 400 indirect fatalities and affected almost three billion animals, not to mention the economic and broader ecological costs that are both yet to be fully estimated. Following this major disaster, it became clear that in order to become more resilient to such large-scale events as a society, better data analytics, artificial intelligence (AI) solutions, and new digital innovations were needed. The Australian government thus invested a further AUD 88.1 million over the next 10\u00a0years in the Bushfire and Natural Hazards Cooperative Research Centre, with space monitoring and predictions of natural hazards, development of new digital technologies, and AI solutions all at the heart of the center\u2019s mission.As catastrophic as the Australian bushfires had been, they were almost eclipsed in the media by the global COVID-19 pandemic that developed worldwide in 2020. Again, the role of data-driven science in the fight against the spread of the virus was abundantly clear. Many governments based their decisions to implement lockdown measures on predictive scientific models that utilized the latest available data to help assess the effectiveness of potential mitigation strategies in slowing down the spread of the virus. Moreover, geospatial monitoring has been used worldwide to manage this crisis, firstly through the development of smartphone apps to improve the enormous task of contact tracing, and secondly to understand the effect of restrictions on the mobility of individuals put in place by authorities.Now more than ever, the world has therefore become acutely aware of the key role that data-driven approaches play in disaster risk management, and we hope that this special issue will provide the reader with an overview of some of the important initiatives currently pursued in this area.Vincent Lemiale, Mahesh Prakash, and Ana Maria CruzGuest Editors"}
+{"text": "Epidemiological evidence has demonstrated the association between dietary factors and non-communicable diseases. Great attention has been payed to the Mediterranean dietary pattern, given its richness in anti-oxidant and anti-inflammatory molecules. Numerous reports from the SUN (Seguimiento Universidad De Navarra) cohort have shown that higher adherence to the Mediterranean dietary pattern may be inversely associated with mortality, type 2 diabetes and cardiovascular diseases. Likewise, a link with mental health outcomes, such as depressive symptoms, cognitive status and quality of life was also found, suggesting its beneficial effects toward brain health. Non-communicable diseases are the leading causes of premature mortality and disability in developed countries ,2. ObesiThe SUN (Seguimiento Universidad De Navarra) study represents one of the main cohorts in the European Mediterranean area aiming to explore the association between dietary factors and non-communicable diseases. It involves individuals aged 20 years and over who have previously graduated from the University of Navarra, as well as from other different Spanish universities; the cohort has adopted an open continuous recruitment of highly educated participants, which is supposed to reduce the potential risk of bias. The project has contributed for over 20 years to evidence on the importance of traditional dietary patterns, such as the Mediterranean diet, as an ideal dietary choice for the prevention of chronic diseases . The artAnother line of research investigated within the context of the SUN cohort has been the role of the Mediterranean diet on mental health, including depressive symptoms, cognitive status and quality of life. Higher adherence to the Mediterranean and other healthy dietary patterns has been associated with a lower risk of depression . SimilarA traditional Mediterranean diet characterized by (i) high intake of plant-derived foods ; (ii) use of olive oil, nuts and fish as the main sources of fats; (iii) low consumption of meat and processed foods; and (iv) moderate alcohol intake (mostly wine) during meals, and is a dietary pattern that provides an ideal content of healthy nutrients (such as poly- and monounsaturated fatty acids) and bioactive components exerting anti-inflammatory and antioxidant properties (such as vitamins and polyphenols) , many ofThe contribution of the SUN cohort to nutritional science was crucial in making modern knowledge on the role of certain dietary factors, among which the Mediterranean diet is the core research question of this cohort, in human health. The results obtained are in line with those reviewed in two umbrella reviews of meta-analyses of the role of the Mediterranean diet in preventing non-communicable diseases ,37. The"}
+{"text": "Investigators from the Soroka University Medical Centre, The Hebrew University of Jerusalem, and Tikun Olam Ltd. in Israel studied the safety and efficacy of medical cannabis treatment on 188 patients with autism spectrum disorder (ASD) for six months. Investigators from the Soroka University Medical Centre, The Hebrew University of Jerusalem, and Tikun Olam Ltd. in Israel studied the safety and efficacy of medical cannabis treatment on 188 patients with autism spectrum disorder (ASD) for six months. The study examined the efficacy of cannabidiol (CBD) through a quality-of-life assessment, global assessment rating, and an ASD symptom severity assessment looking at restlessness, rage attacks, agitation, speech impairment, cognitive impairment, anxiety, incontinence, depression, and more. The safety of CBD was examined by assessing physiological and cognitive side effects. The largest national provider of medical cannabis in Israel employed several of the authors and sponsored this study. [COMMENTARY. ASD is a developmental disorder with two clusters of symptoms: 1. persistent deficits in social communication and social interaction, and 2. restricted, repetitive patterns of behavior, interests, or activities and effeSafety was assessed by analyzing the frequency of side effects, while efficacy was analyzed using the ASD symptom severity assessment. Many of the same symptoms were reported as both side effects of the treatment and comorbid symptoms of prior diagnoses, making it difficult to interpret the results. The safety of medical cannabis was assessed within a one-month, and six-month follow up. Progress of patients who received extra THC doses was not differentiated from the remainder of patients.Long-term safety from prolonged usage could not be determined from this study. Patient outcomes and side effects were only recorded at months one and six; the selection of this specific follow-up period is not clearly explained. Observational studies, such as this one, are essential in identifying the short-term safety and efficacy of medications; CBD's long-term safety for ASD spectrum patients is unclear.Subjective self-reporting by parents of patients was used as the basis of this study. Parents' expectations likely influenced their reporting. Assessment of parental perceptions and expectations of safety and efficacy at baseline could have elucidated these potentially confounding factors. Furthermore, this study was sponsored by a large local CBD manufacturer and the study population was using the product, which could have added an extra layer of parental reporting bias. Prospective, independent, placebo-controlled clinical trials are required to determine more accurate long-term efficacy and dosing guidelines for CBD in ASD.The authors have declared that no competing interests exist."}
+{"text": "In this data collation study, we aimed to provide a comprehensive database describing the epidemic trends and responses during the first wave of coronavirus disease 2019 (COVID-19) throughout the main provinces in China.From mid-January to March 2020, we extracted publicly available data regarding the spread and control of COVID-19 from 31 provincial health authorities and major media outlets in mainland China. Based on these data, we conducted descriptive analyses of the epidemic in the six most-affected provinces.School closures, travel restrictions, community-level lockdown, and contact tracing were introduced concurrently around late January but subsequent epidemic trends differed among provinces. Compared with Hubei, the other five most-affected provinces reported a lower crude case fatality ratio and proportion of critical and severe hospitalised cases. From March 2020, as the local transmission of COVID-19 declined, switching the focus of measures to the testing and quarantine of inbound travellers may have helped to sustain the control of the epidemic.Aggregated indicators of case notifications and severity distributions are essential for monitoring an epidemic. A publicly available database containing these indicators and information regarding control measures is a useful resource for further research and policy planning in response to the COVID-19 epidemic. The coronavirus disease 2019 (COVID-19) outbreak was first reported in Wuhan City, Hubei Province, China in late December 2019 . From laThe Imperial College London COVID-19 Response Team initiated data collection activities in mid-January 2020 to understand the epidemic in China. Together with volunteers, the Imperial Team made considerable efforts to collate aggregated data and individual patient information from publicly available, national, and local situation reports published by health authorities in China. Individual case or death reports are considered crucial for informing the determinants of disease severity and fatality during the emergence of the epidemic , but theThe data we extracted from Chinese official reports may also be useful for the wider research community by building on other existing data collection activities . In the https://github.com/mrc-ide/covid19_mainland_China_report.Daily situation reports of the COVID-19 epidemic were extracted from mid-January to 31 March 2020 in 31 provinces/municipalities of mainland China. We downloaded these reports from the websites of local health commissions and used Google translate to obtain English versions for each province/municipality. In addition, reports from the National Health Commission website and Wuhan City Health Commission website were included. We extracted aggregated numbers of cases, deaths, recoveries, contacts, and details on disease severity and case importation from the official reports released each day . The quaWe reviewed the timing of implementation and subsequent lifting of the following control measures: i) cancellation of cross-province public transportation; ii) temperature checks for inbound travellers at provincial borders; and iii) community-level lockdown that reported the highest numbers of confirmed cases up to the end of March 2020. These provinces accounted for 90% of the total COVID-19 cases in mainland China. Hubei alone accounted for 80% of the total number of reported cases .Figure 1We first calculated the proportion of recoveries from 15 January to 31 March as: results .To investigate the disease severity across provinces, we obtained the crude case-fatality ratio (cCFR) as: eporting , but it According to the guidelines for contact investigation published by the On 26 January 2020, In addition to school closures, In addition to the key dates for initiating and lifting the three most common control measures, We explored the association between the epidemic trend and health care burden based on the time-varying proportions of the total confirmed cases who recovered . Most prA wide variation in cCFRs was reported in each province by 31 March 2020 . Most ofProvincial differences in disease severity were also demonstrated by the analysis of hospitalised cases , where HFinally, we investigated the scale of contact tracing for infection control at the national and provincial levels by using the ratio of total contacts relative to total cases by the end of March . On averIn this study, we conducted data collation and descriptive analyses of the COVID-19 epidemic trends and control measures in mainland China between mid-January and March 2020. In most provinces, the local epidemics peaked in early February and declined in early March, but they were not completely eliminated because the number of imported cases increased. School closures, travel restrictions, contact tracing, and other control measures were enforced at a similar time from late January across provinces. However, in Hubei where the origin of the COVID-19 pandemic was reported, increased levels of case fatality and severity were reported compared with the other five most badly affected provinces analysed. Based on the descriptions of the epidemic trends and timings of interventions, we observed the potential effects of early implementation and timely adjustment of the control strategies on containing the COVID-19 epidemic in mainland China. The collated data have been made available and they may provide a useful resource for further research into epidemic control and policy planning.Domestic travel restrictions were implemented at similar times across provinces in China , althougThe timing of school reopening in China depended on the local epidemic situation , but theA particularly high cCFR was reported in Hubei compared with the other provinces according to our analysis. This difference in disease severity was also consistently demonstrated by the proportion of critical and severe cases over the last few months. Another study that accounted for right-censoring when estimating the true case fatality demonstrated a similar discrepancy across provinces to that we determined based on the cCFRs . This siThe indicators comprising cCFR and proportions of currently critical and severe cases exhibited different relationships across the provinces in China . Henan pContact tracing was implemented nationally at the beginning of the epidemic in China as a key strategy coupled with case management . We founA major limitation of our descriptive analysis is the use of aggregate cases, deaths, recoveries, and contacts data. These indicators are convenient for monitoring and comparing the epidemic trends by province, but further inferring the effects of risk factors on the transmission dynamics is not possible. Patient characteristics such as age and comorbidities are essential for understanding the heterogeneity of disease severity. Estimations of the setting-specific incubation period, reporting delay, and disease progress also rely on the date of symptom onset and care-seeking pathways for individual cases . AnotherMany containment measures have been implemented in the different provinces of China since the beginning of the COVID-19 outbreak in Wuhan City, Hubei Province. Similar control measures were also introduced in other countries, such as Singapore and South Korea, although the practical implementations varied . Social HF, HW, XX, NI, and SB conceptualised and conducted the analysis. HF, HW, XX, AB, YW, SLvE, and NI set up the data collation framework and maintained the quality of the data sets. HF, HW, XX, AB, YW, WH, KJF, RM, DOM, JS, AL, TD, AD, KECA, LC, GC, ODE, NS, HAT, HJTU, and LKW extracted the data. HF wrote the first draft of the manuscript. All authors contributed to the revised version of the manuscript and agreed with its submission.UK Medical Research Council and Department for International Development [grant number MR/R015600/1]. This study was also supported by the National Institute for Health Research Health Protection Research Unit in Modelling Methodology, the Abdul Latif Jameel Foundation, and the EDCTP2 programme supported by the 10.13039/501100000780European Union.We acknowledge Joint Centre Funding from the The authors declare that they have no conflicts of interest.This study did not require ethical approval because aggregated publicly available data were used."}
+{"text": "Zea mays genes were expressed with various expression levels in the tested development stages, including dough stage, fruit formation, anthesis, inflorescence formation, stem elongation, seedling stage and germination (In the The Expression Profile During Different Development Stage and Different Tissues of the RNA Helicase Genes in Four Species Under Normal Growth Conditions subsection of the Results, there is an error in the first sentence of the third paragraph. The correct sentence is: Approximately 108 mination .There are errors in the number of RNA expression profiles in the captions of The image for"}
+{"text": "The time trend of prevalence and mortality of major cancers is the result of three competing processes: changes in the incidence rate, stage-specific survival, and ascertainment at early stages. Partitioning approach allows for evaluating the relative contribution of each of these competing processes to the overall trend. In this report we applied the partitioning methodology developed for the SEER registry data for prostate, colorectal, lung, female breast, bladder, ovarian, stomach, pancreas, kidney, liver cancers and melanoma. The analysis involves the design and estimation of four models for each cancer site: i) incidence rate using the Armitage-Doll model with individual predisposition modeled by the gamma distribution, ii) probability of relative survival after cancer diagnosis using the Weibull model for time after disease onset, iii) frequencies of stage at onset, and iv) mortality in the general population using the Gompertz model. B-splines are used to fit the time patterns of model parameters obtained for each year Relative contributions of the partitioning components were evaluated for individual cancers , improved survival (29%), and improve stage ascertainment (12%)) and compared among all considered cancers. The results were discussed in the light of the effect of the accumulation of survivors occurring in early years and their higher mortality in later years ."}
+{"text": "This presentation will share examples of arts-based and creative interventions serving people and their families living with dementia representing evidence-based and promising practices in the United States. Such interventions offer effective non-pharmacological approaches to dementia care including use of the visual arts and performing arts ; literature and writing including reminiscence, biographical approaches, and life story work; photography and Photovoice; and dance and movement as intervention modalities. Current evidence will be presented that demonstrates the effectiveness of arts-based interventions as a form of psycho-social and self-care to alleviate the effects of dementia and enhance the quality of life. Recommendations for future research will be discussed. Strategies will be proposed to develop interprofessional health humanities networks between universities, healthcare systems, libraries, museums, and the arts community to collaborate on the creation of arts-based programs in communities currently without the benefit of such programs."}
+{"text": "The COVID-19 epidemic is still spreading globally. Contact tracing is a vital strategy in epidemic emergency management; however, traditional contact tracing faces many limitations in practice. The application of digital technology provides an opportunity for local governments to trace the contacts of individuals with COVID-19 more comprehensively, efficiently, and precisely.Our research aimed to provide new solutions to overcome the limitations of traditional contact tracing by introducing the organizational process, technical process, and main achievements of digital contact tracing in Hainan Province.A graph database algorithm, which can efficiently process complex relational networks, was applied in Hainan Province; this algorithm relies on a governmental big data platform to analyze multisource COVID-19 epidemic data and build networks of relationships among high-risk infected individuals, the general population, vehicles, and public places to identify and trace contacts. We summarized the organizational and technical process of digital contact tracing in Hainan Province based on interviews and data analyses.An integrated emergency management command system and a multi-agency coordination mechanism were formed during the emergency management of the COVID-19 epidemic in Hainan Province. The collection, storage, analysis, and application of multisource epidemic data were realized based on the government\u2019s big data platform using a centralized model. The graph database algorithm is compatible with this platform and can analyze multisource and heterogeneous big data related to the epidemic. These practices were used to quickly and accurately identify and trace 10,871 contacts among hundreds of thousands of epidemic data records; 378 closest contacts and a number of public places with high risk of infection were identified. A confirmed patient was found after quarantine measures were implemented by all contacts.During the emergency management of the COVID-19 epidemic, Hainan Province used a graph database algorithm to trace contacts in a centralized model, which can identify infected individuals and high-risk public places more quickly and accurately. This practice can provide support to government agencies to implement precise, agile, and evidence-based emergency management measures and improve the responsiveness of the public health emergency response system. Strengthening data security, improving tracing accuracy, enabling intelligent data collection, and improving data-sharing mechanisms and technologies are directions for optimizing digital contact tracing. The COVID-19 epidemic is still spreading rapidly worldwide. Tens of millions of people have been infected, and the number of infections is still growing rapidly. Most countries or regions are still in states of public health emergency. Although China, the United States, and other countries have successfully developed COVID-19 vaccines, the production and application of the vaccines still have large gaps. Moreover, effective drugs for treatment of COVID-19 have not been successfully developed. Therefore, quickly identifying and tracing individuals infected with COVID-19 and their contacts and adopting active emergency management measures, such as travel restrictions, health monitoring, and home-based quarantine, are necessary for all countries and regions to overcome the COVID-19 epidemic [Contact investigation has always been an important public health strategy and a key process in epidemic emergency management. The scale of COVID-19 infection poses a major challenge to contact investigation . TraditiDigital contact tracing uses electronic information to identify exposures to infection; it has the potential to address the limitations of traditional contact tracing, such as scalability, notification delays, recall errors, and contact identification in public spaces ,11. CurrThe data storage and processing models of digital contact tracing adopted by some countries and regions are generally divided into centralized and decentralized models . In the applet to collect residents\u2019 self-reported health characteristics and travel history and to combine the location information generated by the users\u2019 specific quick response (QR) codes to trace infected persons and contacts for individual risk assessment. A health code is generated for the identification of personal infection risk; this code serves as a voucher for passage, work resumption, and school resumption [South Korea and China have adopted the centralized model for digital contact tracing . Korea\u2019ssumption ,16. The The decentralized model was adopted by countries and regions such as Europe, North America, and Singapore . Google,App-based digital contact tracing in a decentralized mode can only be effective when used by 40%-70% of smartphone users . The earAn empirical study showed tTherefore, this study aimed to overcome the insufficient use and objectivity of existing digital contact tracing\u2013related practices and provide new solutions to further improve the effectiveness and reliability of digital contact tracing. Hainan Province, China, was selected as the case in this study. Hainan Province adopted a centralized model to conduct contact tracing during the COVID-19 epidemic. Moreover, the model gathered multisource epidemic data that relied on the government\u2019s big data public service platform, which enabled government agencies to apply graph database algorithms, data visualization, and other digital technologies to determine and trace contacts from hundreds of thousands of epidemic records. This study describes the organizational process, technical process, application prospects and possible obstacles of digital contact tracing in Hainan Province, which may provide a more effective solution and technical support for other countries and regions.Hainan Province is one of the most popular tourist destinations among Chinese and even global tourists because of its tropical island scenery. Due to the massive influx of tourists, the flow rate of the population of Hainan Province is very large. Additionally, due to the geographical location of the island, the influx of infected individuals is the main challenge in the emergency management of the COVID-19 epidemic. As of August 7, 2020, Hainan Province reported a total of 171 confirmed individuals infected with COVID-19 [Hainan Province issued the \u201cRegulations on the Development and Application of Big Data in Hainan Province\u201d in October 2019 , which cWe conducted semistructured interviews in collaboration with the project manager and technical staff of the Big Data Administration who were in charge of Hainan\u2019s COVID-19 epidemic digital contact tracing project to understand the details of the whole process. We explained the purpose and content of the interview to the interviewees before the interview, recorded the outlines during the interview, and transcribed the voice recording to text format after the interview.Under the leadership and coordination of the Command of Hainan Provincial Epidemic Prevention and Control, the Hainan Provincial Big Data Administration collected epidemic data from different agencies, including epidemic investigation records, confirmed infected individuals\u2019 information and their spatiotemporal trajectory, high-risk population information, information on close contacts and patients with fever, and the mobile phone signaling data of imported residents or travelers with a history of residence in Hubei Province . The information in the specific databases is shown in A graph database is a new type of database system based on graph theory and algorithms that efficiently processes complex relational networks. A graph database can efficiently process large-scale, complex, interconnected, and changeable data, and its computational efficiency is far higher than that of a traditional relational database . A graphMost graph databases provide a query language that is suitable for representing graph structures and graph query. Neo4j is a Java-based open-source graph database with high performance, high reliability, and strong scalability . The graOur research used the Cypher algorithm of Neo4j version 3.4.15 to construct an association graph among the high-risk population, the general population, vehicles, public places, and other key information; reveal the hidden network of relationships; and identify the risks in the relationships to identify and trace the contacts of COVID-19 cases.ECharts (Apache Software Foundation) is an open-source visualization tool based on JavaScript that can run smoothly on personal computers and mobile devices and is compatible with most current web browsers. The bottom layer relies on a vector graphics tool, ZRender, to provide intuitive, interactive, and highly personalized data visualization . EChartsOur research used ECharts to visualize basic data and the results of the graph database algorithms as well as to develop web portals and interactive operating systems to intuitively and dynamically query and analyze epidemic data.Based on the data planning, data collection, data storage, data analysis, and data application processes involved in the data life cycle, we used interview data to summarize the activities performed by various participants in the digital contact tracing process of the COVID-19 epidemic in Hainan Province. The specific organizational process is as follows.Data planning includes organization, assessment of the situation and demand, and the formulation of strategic goals. This project was initiated by the Hainan Provincial Command of COVID-19 Epidemic Prevention and Control on January 29, 2020. The governor of Hainan Province, as the person in charge, instructed various government departments to cooperate with the Big Data Administration to apply big data technology to COVID-19 epidemic emergency management\u2013related work. That is, the Hainan Provincial Command of COVID-19 Epidemic Prevention and Control played a leading and coordinating role, the Hainan Big Data Administration played a leading role in implementation, and other government departments played cooperative roles. Thus, an integrated and flat organizational structure and coordination mechanism were formed.The Hainan Big Data Administration immediately assessed the COVID-19 epidemic situation and emergency management measures, coordinated communication with the Command of COVID-19 Epidemic Prevention and Control and other relevant government departments, and organized epidemiologists and big data technicians to formulate an implementation plan. The plan determined the specific implementation details of using multisource epidemic big data for digital technology tracing and submitted achievable data requirements to the Command of COVID-19 Epidemic Prevention and Control. Then, the COVID-19 Epidemic Prevention and Control headquarters coordinated the cooperation of work by relevant departments and provided the specified data.Hainan Provincial Big Data Management collected the first batch of data in Excel format (Microsoft Corporation) from the Command of COVID-19 Epidemic Prevention and Control, Public Security Department, Health Commission, communication operators, and other departments on February 10, 2020.The technicians of the Hainan Provincial Big Data Administration cleaned and merged the data under the guidance of officials and epidemiologists, uploaded all databases to Hainan\u2019s big data public service platform, and used the hive data warehouse tool to manage, extract, query, and analyze the data.The data technicians of the Hainan Provincial Big Data Administration retrieved data from Hainan\u2019s big data public service platform; used the graph database Neo4j algorithm to perform association analysis on key populations, vehicles, and public places; and then used ECharts to visualize the data analysis results and determine contacts and high-risk public places.The Hainan Provincial Big Data Administration regularly writes COVID-19 epidemic contact tracing reports based on the results of data analysis and reports them to the Command of COVID-19 Epidemic Prevention and Control. The Command of COVID-19 Epidemic Prevention and Control promptly releases early warning information to the public; strengthens cross-departmental sharing of information; and guides the Health Commission, CDC, medical and health institutions, and grassroots residents\u2019 committees in the implementation of measures, such as isolation, health monitoring, and nucleic acid testing of contacts. Measures are also implemented to limit the flow of people and close high-risk infected public places.The technicians of the Hainan Provincial Big Data Administration took confirmed, suspected, and asymptomatic infected individuals, as well as individuals with a history of residence in Hubei Province, as the nodes of population; private cars, trains, and flights as the nodes of transportation; and communities and shopping malls as the nodes of public places. The technicians defined a relationship as appearance in the same public place or vehicle at the same time. Based on these nodes and relationships, the Neo4j Cypher algorithm graph database was applied to build an association graph to analyze and display the associations among key populations, vehicles, public places, and other key pieces of information. The core algorithm of the graph database used in our research is shown in The representative analysis results of the graph database algorithm are shown in The Hainan Provincial Big Data Administration applied ECharts data visualization tools to compute and visualize the distribution of the population with a residence history in Hubei Province in all cities of Hainan Province. As shown in The Hainan Provincial Big Data Administration applied the graph database algorithm to rank the frequency of confirmed, suspected, and asymptomatic infected individuals and their contacts appearing in shopping malls and communities. The results were used to infer and predict public places with high risk of infection.The Hainan Provincial Big Data Administration used ECharts to visualize the basic data and analysis results and also designed an interactive operating system that can be accessed through a web page on a browser. The system interface is shown in The Hainan Provincial Big Data Administration identified 61,439 analysis objects from hundreds of thousands of records and identified 10,871 contacts. The authorities took measures to isolate, transport, and monitor these contacts. Hainan provincial digital contact tracing identified 378 individuals with the highest infection risk , including 106 close contacts and 154 second-degree contacts who traveled on the same vehicles, 110 contacts within the same communities, and 8 contacts within the same malls. The Hainan Provincial Big Data Administration identified 6 high-risk communities and a number of high-risk shopping malls. According to the list of the highest-risk infected individuals and high-risk shopping malls and communities, the Command of Hainan Provincial COVID-19 Epidemic Prevention and Control directed health committees, the CDC, medical and health institutions, grassroot governments, and community residents\u2019 committees to take mandatory measures for the highest-risk infected individuals and to implement emergency shutdown measures for high-risk public places. As a result, a patient who was not detected by traditional contact tracing was discovered through digital contact tracing, which provided vital information support to comprehensively curb the spread of the COVID-19 epidemic from the source.We summarized the organizational process, technical process, and main achievements of the graph database algorithm in tracing the contacts of COVID-19 cases in Hainan Province, China. This approach has practical importance in overcoming the limitations of traditional emergency management measures and existing digital contact tracing methods. From the perspective of the organizational process, our research found that Hainan Province formed a scientific and effective organizational structure and operating mechanism for digital contact tracing during the COVID-19 epidemic. The success of the organizational process is attributed to (1) the establishment of a special high-level administrative leadership agency to coordinate the entire process, namely, the Hainan Provincial Command of COVID-19 Epidemic Prevention and Control; (2) the clarification of the rights and obligations of relevant emergency management agencies in the digital contact tracing of the COVID-19 epidemic; (3) the formation of a flat and integrated organizational structure and operating mechanism for multiple agencies to communicate effectively in a timely manner and achieve collaborative governance; (4) the establishment of a dedicated big data management department to provide technical support required for data lifecycle management; and (5) the establishment of a government big data public service platform that supports the storage, recall, and analysis of multisource data according to the centralized model, and the application of the platform in digital contact tracing during the COVID-19 epidemic.From the perspective of the technical process, our research is based on the use of the Neo4j graph database algorithm and ECharts data visualization tool to mine and analyze multisource COVID-19 epidemic big data. Hidden contacts and public places associated with confirmed patients, suspected patients, and asymptomatic infections were discovered and traced so that contacts and high-risk public places could be accurately identified. The results show that the digital contact tracing in Hainan Province is compatible with multisource heterogeneous epidemic big data; it can quickly and accurately find close, second-degree, or third-degree contacts, and it can identify public places with high risk of infection. Visualization technology is of great importance in optimizing public decision-making . In our Our research is expected to overcome the main difficulties faced in emergency management of the COVID-19 epidemic in different countries and regions due to their unique political, cultural, and civic concepts ,19,28-31The main limitation of our research is the small coverage and insufficient information of COVID-19 epidemic data. Thus, tracing high-risk infected populations among the entire population of Hainan Province and their contacts is impossible. The participants in digital contact tracing in Hainan Province are limited to people with a history of residence in Hubei Province. This selection greatly reduces the scope of digital contact tracing. In addition, WeChat positioning\u2013based GPS data, UnionPay consumption data, and railway and flight passenger information, which can accurately reflect the trajectory of residents, are owned by enterprises. These enterprises did not agree to provide users\u2019 spatiotemporal trajectory data to the Hainan Provincial Big Data Administration to protect the privacy of their users.Hainan Province needs to further improve the accuracy of data contact tracing using a graph database algorithm. Authorities need to adopt more comprehensive, accurate, and dynamic population spatiotemporal trajectory data to combat the epidemic. These data are the key to improve the accuracy of digital-based tracing. In addition, when confirmed, suspected, and asymptomatic infected individuals come into contact with the general population, the distance and duration of exposure are the main indicators for assessing the risk of cross-infection . Hainan Furthermore, security issues in the process of digital contact tracing of epidemics based on a digital government platform under the centralized model need to be properly resolved in two aspects: governance and technology. In terms of governance, the law, system, and data management structure must be improved for the government to obtain citizens\u2019 personal information in public health emergencies. Data sharing standards, authority management, and data security management in the process of epidemic data analysis and application, as the bases for the government to adopt useful data to respond to epidemics under the premise of ensuring the privacy of citizens, should be clarified. In addition, the government\u2019s use of data from enterprises, social organizations, and other nongovernmental organizations to respond to the epidemic needs to be further clarified and improved. In terms of technology, data security technologies, such as cryptography methods, data encryption technologies, system vulnerability monitoring and repair technologies, virus-killing technologies, and automatic data deletion technologies, must be comprehensively used in the digital platform for epidemic emergency management.Finally, the methods of collecting epidemic data were not sufficiently intelligent. For example, epidemiological investigation data were mainly collected by health personnel through face-to-face interviews with the cooperation of community resident committees. These data were manually entered into the information system by the staff of the CDC or medical institutions. This data collection method was relatively inefficient and requires substantial staffing. Furthermore, onsite investigation by staff increases the risk of cross-infection. Therefore, for digital contact tracing, it is necessary to develop more intelligent means of completion. Therefore, authorities should follow the development trend of governance in the digital age; develop an epidemic emergency management big data platform with the aid of governmental big data platforms; and fully use cloud transmission, cloud storage, and cloud computing technology to realize the real-time and dynamic collection of epidemic data from the transaction information systems of public and private agencies through a network interface to replace the traditional methods of collecting multisource epidemic data.Hainan Province, China, was selected as the case for this study. The use of a graph database algorithm and ECharts visualization tools in Hainan Province to trace contacts and identify high-risk public places was summarized in a centralized model during the process of emergency management of the COVID-19 epidemic. Moreover, the organizational and technical processes of the case we studied can help government agencies to implement precise emergency management measures and provide agile, evidence-based decision support to improve the responsiveness of the public health emergency response system. The organizational arrangements and technology involved in our research can be applied in different countries and regions to respond to the COVID-19 epidemic and can be applied at different stages of the COVID-19 epidemic. Future research should focus on solving the problems of insufficient data coverage information, insufficient contact tracing accuracy, insufficient intelligence of data collection methods, security concerns, and insufficient real-time performance of data sharing caused by the tradeoff between citizen privacy and public health security to optimize digital contact tracing."}
+{"text": "To the Editor:1 The reasons for the decision were multifactorial, including the opportunity for medicalschools to develop and implement educational programs to fully educate all their students, toensure medical student and patient safety, and to conserve personal protective equipment.Due to the COVID-19 outbreak, the Association of American Medical Colleges (AAMC) recommendedthe suspension of all direct patient contact for clinical rotations by medical studentseffective immediately on March 17, 2020.2 Endorsed by the AAMC, Abraham Flexner later influenced medical education throughrecommendations of science-based programs in university departments linked to teaching hospitals.2 With COVID-19 being the first pandemic to affect the United States in the modern era,the outbreak resulted in the first immediate cessation of clinical education for medicalstudents in the United States.Apprenticeship on clinical rotations remains as relevant today in the education of medicalstudents as it did when Sir William Osler, FRS, FRCP, established clerkships a century ago,giving students a role on clinical services.3 The HMS organizational framework was shared with multiple medical schools across theUnited States.With no precedent, medical students with and without faculty oversight across the countryacted through the development of both social connectedness and wellness, but more importantlycommunity service, to assist patients in the general population. Locally, medical students atthe University of Cincinnati College of Medicine developed a free service program throughwhich student volunteers provided free delivery of groceries, medications, and meals topatients at risk for COVID-19-associated complications if they acquire the viral infection.Moreover, a group of medical students at Harvard Medical School (HMS) implemented a team of500 volunteers to develop a student-led organization to optimize mobilization of interestedstudents in the COVID-19 response, both clinically and in the community, and to serve as aliaison between administration for the needs and efforts of these engaged students.4 During this unprecedented time when medical students are removed from clinical servicesat US teaching hospitals, they do not have to feel powerless as noted by the HMS students.Medical students can empower themselves through sustaining the quality of health of the mostvulnerable in the broader community.Our job as physicians is to heal the sick, especially when patients are at their mostvulnerable. The innate characteristics of physicians to heal patients is developed beforegraduation from medical school. Many students develop optimistic and altruistic behavior and asense of morality patients during their medical education.University of Cincinnati, Cincinnati,OHCincinnati Children\u2019s Hospital Medical Center, Cincinnati,OHDon Hayes Jr, MD, MS, MEd"}
+{"text": "Cofilin is an actin-binding protein that regulates filament dynamics and depolymerization. The over-expression of cofilin is observed in various cancers, cofilin promotes cancer metastasis by regulating cytoskeletal reorganization, lamellipodium formation and epithelial-to-mesenchymal transition. Clinical treatment of cancer regarding cofilin has been explored in aspects of tumor cells apoptosis and cofilin related miRNAs. This review addresses the structure and phosphorylation of cofilin and describes recent findings regarding the function of cofilin in regulating cancer metastasis and apoptosis in tumor cells. Once cofilin is activated by dephosphorylation, it servers actin by translocating into the nucleus with binding to actin and slingshot phosphatases (SSH). Phosphorylation on Ser3 deactivate cofilin, while dephosphorylation works in the opposite way. In addition, the phosphorylation status of Ser3 also affects the ability of cofilin to translocate to the mitochondria and Thr505 (LIMK2) threonine residue, whereas upstream effectors are Rho GTPases, including RhoA, Rac1, and Cdc42 . EMT can dissolve cell\u2013cell adhesion and alter the cell morphology to fibroblast-like forms as a consequence of actin reorganization, which collectively translate into metastasis properties , such as miR-342, miR-429, miR-182-5p, act as inhibitors of cofilin activity and upstream effectors of proliferation and migration in cancer cells and phosphatases (SSH1) can change the activation of cofilin, and LIMK1 and SSH1 have been extensively studied as regulators in cofilin-mediated pathways in cell motility and cancer metastasis. However, there are contradictory results and data regarding the expression of cofilin in tumor cells, effects of dephosphorylation of cofilin and the expression level of LIMK1 on cell migration and invasion. Further studies are needed to explore the potential mechanisms behind these contradictory results. The effect of cofilin on apoptosis is a new focus of studies on tumor development, and a growing body of research has found that cofilin is involved in apoptosis under the regulation of AITC, UA, etoposide and arnidiol in various leukemia cells and breast cancer cells. Active (dephosphorylated) cofilin induces apoptosis by translocating to the outer membrane of mitochondria and promoting the release of cytochrome C. Therefore, cofilin can be developed as a new anti-tumor target. The regulation of apoptosis by cofilin in cancer cells can be a very promising research direction. With further study of the pathway linking cofilin and apoptosis, cofilin may be not only a biomarker and prognostic indicator of cancers but also a therapeutic target for various cancers.JX, YH, and JZ: wrote-original draft preparation. LW, QQ, YL, GL, and JL: wrote-review and editing. HL and HW supervised and approved the final submitted version. All authors contributed to the article and approved the submitted version.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Dear Editor,Although onychomadesis secondary to hand-foot-and mouth disease (HFM) is an an uncommon clinical manifestation; it threatens parents and child caregivers. In a case series of 145 Thai patients, it occurred in 5\u201337% of cases, depending on the virus.None declared.Juliana Polizel Ocanha Xavier: Approval of the final version of the manuscript; conception and planning of the study; elaboration and writing of the manuscript; obtaining, analysis, and interpretation of the data; effective participation in research orientation; intellectual participation in the propaedeutic and/or therapeutic conduct of the studied cases; critical review of the literature; critical review of the manuscript.Jos\u00e9 C\u00e2ndido Caldeira Xavier Junior: Approval of the final version of the manuscript; critical review of the literature; critical review of the manuscript.None declared."}
+{"text": "Scientific Reports 10.1038/s41598-017-15839-y, published online 13 November 2017Correction to: Bram Van den Bergh was omitted from the author list in the original version of this Article. This has been corrected in the PDF and HTML versions of the Article, and in the accompanying Supplementary Information file.The Author Contributions section now reads:CC designed the experiments with CWM, executed the experiments, analyzed the data, and wrote the manuscript. CL and VvN conducted the in silico analysis of Ger receptor genes in 152 gIICb strains. BVdB performed the bioinformatic analysis of the genome sequence of the gerBAC deletion mutant. CWM conceived the study and finalized the manuscript. All authors discussed and interpreted the data."}
+{"text": "Hepatocellular carcinoma (HCC) is the second leading cause of cancer-related mortality worldwide. Sorafenib remained the main stay treatment for patients with advanced HCC for over a decade ,2. In thA minority of patients have locoregional disease at the time of presentation and are candidates for potentially curative options. Surgical resection remains one of the cornerstone curative strategies but, given the underlying liver disease, is not an option for many. Ju et al. review the advantages and disadvantages of anatomical resection (AR) over non-anatomical resection (NAR) in HCC patients and outline outcome measures of both the techniques . AR can Limited models exist for studies of prevention and rationally done studies with tolerable therapies, when given long term, are much needed to design chemoprevention trials. In the woodchuck model of hepatitis B related hepatocellular cancer, Iyer et al. demonstrate the chemo prevention potential, tolerability and immunomodulatory role of low dose sorafenib. High doses of sorafenib upregulated nuclear factor of activated T cells 1 (NFAT1) signaling, and were associated with an immunosuppressive phenotype, with reduced T cell proliferation and enhanced PD-1 expression . Dose reThis issue contains four original research reports examining novel therapies in preclinical models (n = 3) and patients (n = 1). Chen et al. show that magnolol, a compound extracted from the bark of Magnolia officinalis, enhances the therapeutic efficacy of sorafenib via protein kinase B (AKT) inactivation . Co-admiSeveral papers in the issue comprehensively review different therapies under development. Jiang et al. review the role of AMP-activated protein kinase (AMPK) in HCC . DownregThe lack of or limited available tumor tissue in hepatocellular cancer patients poses a challenge in biomarker development. To this end, various groups have suggested using readily available non-invasive laboratory values, to aid patient selection and prognostication. Ueshima et al., demonstrate the effect of baseline liver function in terms of the Child-Pugh score and ALBI grade on efficacy and adverse event outcomes of patients treated with lenvatinib . AntkowiThe plethora of treatment modalities available to manage HCC patients, many showing efficacy compared to placebo but not compared head to head, present unique challenges in patient selection and sequencing. Standardized approaches are lacking, due to the differences in biological characteristics, patient comorbidities and the paucity of data regarding the appropriate sequencing of novel therapies. In a review by Gholam et al., the authors highlight the importance of multidisciplinary teams to maximize the outcomes of HCC patients, especially in the setting of unresectable disease, and the important roles various subspecialists will play to ensure optimal patient outcomes . In rapidly fatal cancers like HCC, the goal of therapy is an improvement in the quality of life (QoL), in addition to prolonging survival. This has been challenging in the HCC space, due to multiple factors, including absent or lack of standardized quality of life reporting in clinical trials, as well as worse liver function and performance status of real-world patients. Zhou et al. summarize the efficacy and safety outcomes of systemic treatment options, along with QoL data, and provide a reference for management of treatment toxicities . Li et aIn conclusion, despite the recent additions to our armamentarium of drugs, HCC remains an area with unmet need. Although more therapy options exist than before, determination of optimal sequencing of therapies, combinations and the impact of these decisions on patient-reported QoL, and on cost of overall care delivery are new challenges that we face. This Special Issue illuminates further understanding into the biology of this aggressive disease and provides innovative solutions for development of new therapies and biomarkers, as our collective efforts towards improving the survival and quality of life outcomes of HCC patients continue."}
+{"text": "We recently adapted the published National Institute for Health and Care Excellence (NICE) Attention deficit hyperactivity disorder (ADHD) diagnosis and management guideline to the Saudi Arabian context. It has been postulated that adaptation of evidence-based clinical practice guidelines to the local healthcare context rather than de-novo development will improve their adoption and implementation without imposing a significant burden on resources. The objective of this paper is to describe the adaptation process methodology utilized for the generation of the first national guideline for management of people with ADHD in Saudi Arabia.We used the KSU-Modified-ADAPTE methodology for the guideline adaptation process. We describe the full process in detail including the three phases of set-up, adaptation, and finalization. The process was conducted by a multidisciplinary guideline adaptation group in addition to an external review for the clinical content and methodology.The group adapted ten main categories of recommendations from one source CPG (NICE). The recommendations include: (i) service organisation and training, (ii) recognition, identification and referral, (iii)\u00a0diagnosis, (iv) support, (v) managing ADHD, (vi) dietary advice, (vii) medication, (viii) maintenance and monitoring, (ix) adherence to treatment, and (x) review of medication and discontinuation. Several implementation tools were compiled and developed to enhance implementability including a clinical algorithm, quality measures, coding system, medication tables, translations, patient information, and online resources.The finalized clinical practice guideline provides healthcare providers with applicable evidence-based guidance for the management of people with ADHD in Saudi Arabia. The project also demonstrated the effectiveness of KSU-Modified-ADAPTE, and emphasized the value of a collaborative clinical and methodological expert group for adaptation of national guidelines. Adaptation of guidelines is a valid alternative to de novo development for generation of evidence-based guidelines.The \u2018King Saud University (KSU)-Modified-ADAPTE\u2019, as a formal methodology for guideline adaptation, is less resource-intensive than de-novo development without losing the methodological rigor.Balanced clinical and methodological expertise in the guideline group is essential for the success of similar projects.We describe the process and outputs of a comprehensive national guideline adaptation initiative with multidisciplinary contributions for management of people with ADHD.These findings contribute to the work to enhance adaptation or customization of clinical practice guidelines and highlight implementability issues for ADHD.Attention deficit hyperactivity disorder (ADHD) is one of the most common neurodevelopmental disorders that affects cognitive, emotional, social, academic, and occupational functioning . It is cThere were\u00a0no standardized clinical guidelines for ADHD management in Saudi Arabia. There is, however, a large volume of internationally published CPGs for ADHD that may create a dilemma for relevant healthcare providers and clinicians who care for people with ADHD in Saudi Arabia during the processes of sharing healthcare decisions and care provision. Furthermore, although some initiatives have targeted the management of ADHD in primary care, they are in their infancy; ADHD is mainly diagnosed and treated in tertiary care and the private sector and managed in a variety of settings, sometimes inappropriately or ineffectively. This results in significant variability in clinical practice, and suboptimal quality of care \u201310.As part of its strategy to improve access to care for people affected by ADHD in Saudi Arabia, the Saudi ADHD Society formed a multidisciplinary team to remedy this situation. The resulting clinical practice guideline (CPG) was adapted from the National institute for Health and Care Excellence (NICE) guideline entitled, Attention deficit hyperactivity disorder: diagnosis and management (NG87) , to imprClinical Practice Guidelines (CPGs) are defined as \u2018statements that include recommendations intended to optimize patient care, which are informed by a systematic review of evidence and an assessment of the benefit and harm of alternative care options . CPGs haAdaptation of CPGs is a valid and efficient alternative to de novo development of CPGs especially in resource-limited healthcare settings. It was proposed to avoid duplication of efforts, to use the available resources in a cost-effective manner, and to encourage trans-contextual customization of the CPG prepared for different economic and healthcare settings reflecting the local context and system \u201316.Given that there were\u00a0no published CPGs for ADHD management in Saudi Arabia, the presented evidence-based CPG is proposed as a National CPG using an evidence-based and formal CPG adaptation methodology. The aim of this study was to adapt the international clinical practice guidelines\u2019 recommendations for people with ADHD to fit the healthcare setting in the Saudi Arabian context including primary, secondary, and tertiary care settings.We utilised the \u2018King Saud University (KSU)-Modified-ADAPTE\u2019 adaptatiThe two main reporting standards for CPGs recommended by the EQUATOR Network are the Appraisal of Guidelines for Research and Evaluation (AGREE) II reporting checklist and the Reporting Items for practice Guidelines in HealThcare (RIGHT) statement \u201320. DespIn phase one, Attention deficit hyperactivity disorder (ADHD) was identified by the Saudi ADHD Society as the health topic for this CPG adaptation project. An initial exploratory search regarding ADHD CPGs was conducted to identify whether there were existing CPGs related to this topic. The guideline adaptation working group (GAG) was formulated at the outset to include a child psychiatrist, two pediatric neurologists, a developmental pediatrician, a clinical neuropsychologist, a clinical pharmacist, a general pediatrician and CPG expert methodologist, a project manager, and a patient advocate. Participation of the patient advocate in the GAG and all of its meetings was intended to capture the patients\u2019 or public\u2019s views and preferences in addition to the support and insight from the networks and resources of the Saudi ADHD Society. The results of the preliminary search for ADHD Source CPGs encouraged us to proceed and officially launch this CPG adaptation project with a national scope. Capacity building sessions were conducted by the CPG methodologist for the rest of the GAG on concepts of evidence-based healthcare including the CPG adaptation process methodology and its associated toolkit , 14, 17.The target patient population for the adapted CPG is children and adults suspected of having or diagnosed with ADHD. The identified target intended users include physicians, clinical psychologists, other behavioral health clinicians, nurses, occupational therapists, pharmacists, social workers, dieticians, medical students, and health sciences students.The healthcare settings include primary, secondary and tertiary care dealing with assessment, treatment and management of ADHD in Saudi Arabia.In phase two, we identified specific health questions using the PIPOH model, relevant inclusion and exclusion criteria, and a full search strategy including a list of keywords. The elements of the PIPOH model include the target patient population (P), intervention(s) (I), professionals and clinical specialties (P), outcomes (O), and healthcare setting or context (H) that were reported earlier , 12. We Based on the results of the AGREE II appraisal and in-dWe decided not to conduct further assessment of the certainty of the body of evidence and the strength of recommendations and relied on the high standardized domain score of domain 3 (rigour of development) of the AGREE II appraisal and the evidence-base of the NICE source CPG based on its provided Grading of Recommendations: Assessment, Development, and Evaluation (GRADE) evidence profiles .Moreover, the GAG identified, revised, and discussed all the recommendation statements through successive focus group discussions against the local and national healthcare system in Saudi Arabia. Drafting the first version of the adapted CPG was the last step of this phase.In phase three, the first draft of the adapted CPG full document was finalized including assessing the recommendations for acceptability and applicability in the local Saudi Arabian healthcare settings. This adapted CPG draft was then disseminated to a selected national panel of external reviewers of specialized healthcare providers, topic experts, and methodologists from relevant healthcare sectors. The feedback of reviewers was revised and discussed within the GAG and was reflected in the final version of the adapted CPG. A set of CPG implementation (CPGI) tools was included in the final CPG full document.th of January 2017 till 30th of May 2019. Seven meetings were conducted for planning, reviewing, and focus group discussions including two training sessions with ongoing hands-on advisory on the CPG appraisal and adaptation tools.The overall duration of this CPG adaptation project was two years and five months from 4This work marks the first national CPG adaptation project for the management of people with ADHD using the \u2018KSU-Modified-ADAPTE\u2019.The aforementioned GAG was formulated in January 2017 as a multidisciplinary group with expertise in ADHD and evidence-based CPGs (YA). ADHD was selected as a high priority health topic with clear practice variation and lack of national CPGs for its management. The necessary resources and skills were identified and allocated. All of the GAG members signed declaration of conflicts of interest statements.The feasibility of the CPG adaptation process was confirmed by conducting a preliminary search for published CPGs. The working plan was drafted and discussed at the outset using the relevant CPG adaptation working plan template from the KSU-Modified-ADAPTE , Table 3For the first and second phases, a systematic review for the recently published ADHD Source CPGs was conducted and published in a separate report, which included the PIPOH model, eligibility criteria, results of the search and screen for Source CPGs, in addition to the results of the ratings and commentary of the AGREE II appraisal .Six source ADHD CPGs were reviewed and critically appraised including those developed by the American Academy of Pediatrics, Canadian ADHD Resource Alliance, National Health and Medical Research Council, National Institute for Health and Care Excellence (NICE), Singapore Ministry of Health, and University of Michigan Health System .The NICE CPG was superior in all of the six standardized domain scores of the AGREE II Instrument and it addressed all care options for ADHD across the lifespan. The AGREE II ratings of the NICE CPG were 100% (domain 1: scope and purpose), 96% (domain 2: stakeholder involvement), 93% (domain 3: rigour of development), 89% (domain 4: clarity and presentation), 92% (domain 5: applicability), 92% , and 100% [Afterwards, we assessed the currency of the NICE Source CPG to ensure the validity and currency of its recommendations and their evidence-base using the related assessment of the CPG currency from the KSU-Modified-ADAPTE , Table 4The GAG reviewed and discussed the AGREE II assessment standardized domain scores and decided to adopt all of the recommendations of the NICE CPG. Relevant customization of the recommendations was conducted after several focus group discussions of facilitators and barriers to CPGI especially regarding variable health systems, medications, or healthcare provider positions.https://www.nice.org.uk/about/what-we-do/our-programmes/nice-guidance/nice-guidelines/making-decisions-using-nice-guidelines in addition to further explanation in, Chapter 9: writing the guideline of, \u2018Developing NICE guidelines: the manual\u2019: https://www.nice.org.uk/process/pmg20/chapter/writing-the-guidelineWe have followed the same format or presentation of recommendation statements developed by NICE that relied on the \u2018wording\u2019 of each recommendation rather than highlighting a quality of evidence and grade of recommendation like other CPG developers may opt for. The rationale for this format has been clearly stated in the NICE website: The GAG decided to adopt the CPGI tools provided by the NICE Source CPG, i.e. baseline assessment tool and quality standards. Additional CPGI tools were included by the GAG based on and relevant to the adapted ADHD recommendations including: (i) two medication tables; one for treatment of children and young people and the other for treatment of adults with ADHD (a summary medication table has been provided in this article), (ii) a clinical algorithm for management of ADHD Fig.\u00a0, (iii) tThirteen members participated as the external review panel from the target audience of the CPG based on their expertise in caring for people with ADHD and in methodologies of evidence-based CPGs (HAA and SA) in addition to their representation of multiple relevant healthcare sectors in Saudi Arabia. Two international experts with local experience were invited to contribute to the external review of the clinical content as well (MG and MJN).The external review comments were compiled using a template , revisedThe customization or adaptation of recommendations was conducted with regards to the differences in the health systems and delivery of healthcare services especially for people with ADHD between the United Kingdom (UK) and the Kingdom of Saudi Arabia. The similarities in the health systems in both countries being nationalized healthcare systems where the government provides the majority of healthcare services, in addition to the similarity of income levels, facilitated the process of adaptation of recommendations to the local context . FurtherHealth benefits, side effects, and risks were evaluated in the Source CPG (NICE) as part of the AGREE II assessment and wereThe values and preferences of the target patient population was considered and discussed throughout the CPG adaptation process through the input of the patient advocate. Moreover, reports from the patient and public encounters during related services were provided by the society.As a part of quality assurance, the finalized adapted CPG from the Saudi ADHD Society was then critically reviewed and endorsed by the Saudi Health Council as well as five national professional societies: the Saudi Pediatric Neurology Society, the Saudi Pediatric Association, the Saudi Pharmaceutical Society, the Saudi Psychiatric Association, and the Saudi Society of Professional Psychology. The adapted CPG included recommendation statements organized into ten sections including: (i) Service organisation and training, (ii) Recognition, identification and referral, (iii)\u00a0Diagnosis, (iv) Support, (v) Managing ADHD, (vi) Dietary advice, (vii) Medication, (viii) Maintenance and monitoring, (ix) Adherence to treatment, and (x) Review of medication and discontinuation.The Saudi ADHD Society contacted NICE, the Source CPG developer, and finalized an official end user license agreement in line with the original NICE terms and conditions and the NICE UK Open Content license.https://cpg.adhd.org.sa/.A summary of the key recommendations is provided in Table The GAG recommended for the next review of this adapted CPG to be after four years from its publication (2020) which should be on (2024) after checking for updates in the Source CPG, consultation of expert opinion on any suggested updates needed according to the newest evidence and recommendations published in this area in addition to the implementation and evaluation results at relevant healthcare organizations in the Kingdom of Saudi Arabia. The Checklist for the Reporting of Updated Guidelines (CheckUp) is recommended by the EQUATOR network to report the updating of CPGs .A full set of CPGI tools was an integral component of the adapted CPG full document Fig.\u00a0, 2. SeveThe GAG recommends using this adapted CPG as a core tool within regular Plan-Do-Study-Act (PDSA) healthcare quality improvement cycles to support and promote quality and safety of healthcare services and best practice for people with ADHD.Several potential facilitators and barriers to implementation were identified during the CPG adaptation process.Facilitators include the relevant national strategies, committees, initiatives, and new healthcare services that are expected as a part of the new model of care, to support implementation. Contribution of representatives of multiple local healthcare sectors are designed to facilitate early dissemination and implementation. Furthermore, leadership engagement and support from the organizing society and from the contributing and endorsing national organizations played a major role in the success of this CPG project.Identified barriers and challenges that require a pro-active intervention to address them as a part of planning for implementation include, but are not limited to, the following: (i) medication availability, access, and sustainability; (ii) dissemination of the adapted CPG; (iii) lack of awareness of the primary care regarding the updated evidence-based recommendations of ADHD; (iv) lack of seamless integration between different national healthcare sectors; and (v) poor transition from pediatric to adult healthcare services.https://cpg.adhd.org.sa/development/).An overall decision support record for the ADHD CPG adaptation group (GAG) using the KSU-Modified-ADAPTE methodology is provided in The aim of this study was to adapt the international CPGs and their recommendations to the Saudi healthcare context for the comprehensive management of people with ADHD across all local healthcare sectors.The iterative process of the ADHD CPG adaptation reveals the nature of intensive work and capacity building that was an integral component of this project, and the specialized expertise required for such a process irrespective of the clinical or methodological expertise. The long timeline observed was not unique to this CPG adaptation project and was reported in other local CPG adaptation projects as well .The GAG did not experience a shorter timeline for this CPG adaptation project compared to the 2\u20133-year period often suggested for de-novo development of CPGs . This coNevertheless, the adaptation of CPG recommendations is a good and valid alternative to de-novo developing a CPG for people with ADHD, especially given the lack of relevant local high-quality systematic reviews and randomized controlled trials.A strength of this study is the use of the \u2018KSU-Modified-ADAPTE\u2019 method because it is clearly structured and easy to follow with a set of tools to support the process.Another noted strength was the inclusion of a patient advocate in the GAG with major contributions and input to the finalized adapted CPG.There are increasing initiatives and projects related to knowledge translation in general and CPGs in particular nationally and regionally , 30, 31.For the medication recommendations and monitoring for both children and adults, we have minimal concerns about stimulant abuse in the local population since medication prescription has strict regulations in the country and has a clear system for controlled drugs regulations.Conducting the needs assessment, that had a significant impact, is by default part of the set-up phase of adaptation and this is consistent with the experience of the GAG, which coincides with published evidence. This is an essential prerequisite of such a CPG adaptation project to practically determine the expected workload, resources, expertise, and the need for dedicated leadership and project management.The \u2018KSU-Modified-ADAPTE\u2019 methodology for CPG adaptation is a rigorous, practical, and intensive tool that\u2014along with the AGREE II instrument as a major component of the adaptation process\u2014has been demonstrated to be particularly feasible for national CPG projects.Our experience with this adaptation methodology provides useful insight into its utilization on a national level in Saudi Arabia, and further demonstrates its potential suitability for the Eastern Mediterranean region. Additional modifications to the adaptation process and tools as per the context are recommended and accepted , 17.Participation of a large number of healthcare sectors through multi-disciplinary groups in the CPG adaptation process aims at increasing the future uptake of the recommendations of this CPG. We anticipate an increase in the level of collaboration and integration of ADHD-related healthcare services as a result of the adoption of this adapted CPG.Availability of a national CPG is essential but not sufficient to guarantee ultimate standardization of patient healthcare. The degree of positive impact on people with ADHD will highly depend on the effectiveness of dissemination and implementation strategies in addition to other quality improvement and safety interventions.A formal cost-analysis is suggested to decide whether the process of CPG adaptation is cost-effective. Research evidence is required as well to determine the effectiveness of CPGI tools and strategies for ADHD, as well as effectiveness of the adapted CPG in the following areas: (i) early identification and referral of children and adults with ADHD, (ii) appropriate transition of care from child to adult healthcare services for ADHD, (iii) parent training programs, (iv) initiation of drug treatment with dose adjustment as indicated, (v) regular assessment of the response to medication, and (vi) annual review of drug treatment.Additional file 1. AGREE Reporting Checklist"}
+{"text": "Metabolomics which deals with the biological metabolite profile produced in the body and its relation to disease state is a relatively recent research area for drug discovery and biological sciences including toxicology and pharmacology. Metabolomics, based on analytical method and multivariate analysis, has been considered a promising technology because of its advantage over other toxicogenomic and toxicoproteomic approaches. The application of metabolomics includes the development of biomarkers associated with the pathogenesis of various diseases, alternative toxicity tests, high-throughput screening (HTS), and risk assessment, allowing the simultaneous acquisition of multiple biochemical parameters in biological samples. The metabolic profile of urine, in particular, often shows changes in response to exposure to xenobiotics or disease-induced stress, because of the biological system\u2019s attempt to maintain homeostasis. In this review, we focus on the most recent advances and applications of metabolomics in toxicological research."}
+{"text": "Management of CHF involved multifaceted programs that included the participation of multiple health care professionals, patient and physician education, promotion of intensive drug therapy and lifestyle modifications, and close patient monitoring. The most common CHF management strategies were case management and physician education, with an emphasis on close patient monitoring. Hypertension and hyperlipidemia-CAD intervention programs focused on chronic outpatient management and regular follow-up, with an emphasis on self management skills. These programs were managed through regular and periodic interventions, including pharmacist-managed clinics and automated provider notices. Many of the studies employed \"before-after\" comparisons in the absence of a truly experimental design and posed significant limitations due to variations in the outcomes measured, lack of transparent disease severity stratification, and variation across types of managed care organizations.A number of cardiovascular disease management strategies in the literature reported promising results. Many of the multidisciplinary CHF disease management programs were more complex than were programs for hypertension and hyperlipidemia-CAD, due, at least in part, to the nature and severity of the disease. A lack of agreement on appropriate economic and clinical outcomes for evaluating the effectiveness of cardiovascular disease management strategies is readily apparent."}
+{"text": "Early in 2021, India embarked on the uphill journey of the COVID-19 vaccination of the largest population group in the world in a prioritized manner and in the shortest possible time. Considering the endless variety of geography and diverse socio-economic demographic, religious, and community contexts, there was a high likelihood of certain population subgroups with known vulnerabilities facing inequities, which were anticipated to be further accentuated by a digital divide. This necessitated devising solutions for such communities in a localized manner to aid the local government in breaking the service access and uptake barriers with an inclusive approach. To bridge this vital gap, the Momentum Routine Immunization Transformation and Equity project implemented a three-tiered collaboration, viz., government, non-governmental organizations (NGOs), and a wide range of vulnerable and at-risk communities, utilizing knowledge exchange and use of data. The project implemented localization strategies through the NGOs for community engagement in conjunction with government vaccination teams to universalize COVID-19 vaccination uptake up to the last mile. The collaboration resulted in reaching close to 50 million beneficiaries through messaging and facilitated the administration of more than 14 million vaccine doses, including 6.1 million doses for vulnerable and marginalized communities in 18 States and Union territories in India, along with suggesting implications for public health practice and research. The Indian Government launched its COVID-19 vaccination drive in January 2021, with the objective of vaccinating the world\u2019s largest national population group of 1.06 billion people . Within According to the \u2018UN Women,\u2019 adolescents, teenagers, children, women, the elderly, people with disabilities, indigenous people, refugees, migrants, and minorities face the highest social and economic marginalization . MarginaCollaboration is integral to the success of any public health program. The fundamental assumption underlying collaborative participation is that addressing complex problems involves a combination of diverse resources owned or managed by different organizations . CollaboIn August 2021, the MOMENTUM Routine Immunization Transformation and Equity (M-RITE) project, supported by the U.S. Agency for International Development (USAID) and led by John Snow India Pvt. Ltd. under the guidance of the Ministry of Health and Family Welfare (MoHFW) of the Government of India, pioneered multiple pathways for scaling solutions for reaching the most vulnerable with COVID-19 vaccination\u2014particularly through successful collaboration with the community-oriented non-governmental organizations (NGOs), community influencers, religious leaders, and associations of people. The model presented in this paper introduces a novel case of innovation in collaborative management with a strategic focus on vulnerable and at-risk communities through collaborations with local NGOs. The learning and experiences shared in this paper provide considerations for public health managers to work beyond the boundaries of specialization and management style in forming and convening collaborations and providing a framework applicable to emergency and routine health scenarios.World Health Organization (WHO), in its operational planning guidelines to support country-preparedness and response to COVID-19, has prioritized risk communication and community engagement by recommending collaborating with civil society as an important approach to dealing with the impact of the pandemic . SimilarAn extensive literature search for possible collaboration approaches did not yield results for a comprehensive collaborative approach suitable for vaccine delivery in emergency situations like COVID-19, but did provide insights for developing a collaborative model. For example, Solana EF\u2019s public\u2013private not-for-profit partnerships (PPNP) model (2014) suggests equitable allocation of tasks among partners to maximize value generation . G\u00f3mez JThe project team assisted the MoHFW of India at the national, state, and district levels to develop a collaboration mechanism that utilized the strengths of NGOs specializing in working with vulnerable and marginalized populations in 18 states and union territories (UTs) and 298 districts, as shown in The collaboration followed a four-step consultative process between the government, donors, and project implementation team:Step 1: Need-assessment for identification of areas of collaborative support and geographies for intervention.Technical assistance (TA) for vaccine planning and prioritization for equitable delivery, including supply chain and vaccine safety;TA for catalyzing service delivery and use, including innovative delivery modalities, health workforce expansion, capacity building, community engagement, demand generation, and risk communication;Identification of intervention geographies for addressing gaps in last-mile delivery based on the COVID-19 vaccination coverage up to August 2021. Eighteen states, including seven in the northeastern part of India, known for its hard-to-reach terrain, were identified for technical support and on-the-ground interventions;Concluding that the high-priority vulnerable populations, as the key target group, included, but were not limited to, the elderly age group, differently-abled people, remote and/or tribal communities, truckers, and migrants. Priority groups also included pregnant and lactating women, transgender people, people with disabilities, adolescents in childcare institutions, etc.The project team underwent multiple rounds of discussions with the MoHFW of India, as well as the project funders, to finalize the areas of intervention as indicated below:A detailed account of activities under each intervention area has been discussed at length in the forthcoming sections.Step 2: Identification, onboarding, and capacity building of NGOs to address last-mile delivery gaps.The project collaborated with NGOs, which had a significant role in implementation, particularly at the district level and below, to support last-mile service delivery and social mobilization and community engagement activities for equitable vaccine coverage. The selection criteria included: local NGOs ; active presence in the low-vaccine-coverage districts; valid Foreign Contribution Regulation Act (FCRA) certification; prior experience of working in USAID projects; understanding of local issues; the organization\u2019s vision being aimed towards marginalized and vulnerable populations in the area; and strong history of financial management, administration, and compliance with laws.Step 3: Devising risk-communication strategies for effective community-based collaboration with the flexibility to customize demand-generation activities.The on-the-ground communication strategy was designed in accordance with the national government\u2019s COVID-19 Vaccine Communication Strategy, and focused on managing vaccine eagerness, hesitancy, and crises with respect to fear of adverse events following immunization. The project team supported state and district governments with demand-generation activities for cohorts for social mobilization and increasing awareness across project states and districts.The team emphasized collaboration with the local governments, as well as in workplaces, community-based organizations (CBOs), and faith-based organizations (FBOs) to customize interventions to meet the objectives of demand generation and target and reach specific population groups . Activities included mapping and reaching out to vulnerable populations, raising awareness, mobilizing communities, and connecting beneficiaries to the health system. Aligning with the national and state government needs, the NGOs customized the delivery of messages during the \u2018Har Ghar Dastak\u2019 (knock every door) campaign of the national government.Step 4: Devising a monitoring, evaluation, and learning (MEL) framework for reporting collaborative efforts.The project identified requirements for project monitoring, evaluation, and learning for the data collection and management system, and developed a system, in collaboration with the USAID Strategic Information Team, to ensure maximum efficiency in data reporting.The team also developed standardized data-capturing and reporting formats for NGOs. To ensure the quality of data reported by the NGOs, the project state teams and supervisory-level staff of the NGOs collated details of beneficiaries from the reported line lists and checked the status of vaccination of the beneficiaries . Around 5% of reported vaccinations were subject to back-checks on a monthly basis.The collaboration model was designed and implemented with a three-tiered approach, viz., collaboration with the government, NGOs, and the community, as depicted in The project\u2019s efforts were complementary to the efforts of the national and state governments in multiple ways, such as the provision of technical assistance, catalyzing program implementation, monitoring, and evaluation, and knowledge exchange.Technical assistance: The project team collaborated with the national government on capacity-building, vaccine supply-chain management, data analysis of vaccination coverage, communication strategies, adverse events following immunization (AEFI), and most importantly, designing various vaccine delivery approaches. Support was also seconded to the Government Medical Store Departments (GMSD) to facilitate a regular and uninterrupted supply of vaccines and syringes, and the tracking of vaccines from manufacturers to regional and state stores in coordination with supply-chain personnel. On many occasions, the collaboration allowed the generation of crucial evidence, such as shortages of vaccines, hesitancy issues, expiring vaccines, etc., which led to the re-alignment of efforts that enhanced the vaccination program. This was especially important when the vaccination staff and healthcare workers were overwhelmed in mitigating the effects of the second COVID-19 wave. Notably, the project team advocated for and facilitated the redistribution of near-expiry vials to districts with low coverage.Catalyzing project implementation: The project teams at the sub-national level identified barriers to vaccination service uptake and demand, and concurrently provided information to district administrations to advocate for organizing special camps tailored to their community\u2019s needs. One such example of facilitating vaccination among daily wage workers is shared in Box 1state of Jammu & Kashmir is home to manymigrant laborers. Health staff observed that it was difficult to vaccinatethem during the working hours of the day. The project team, along with thesub-awardee, organized a rapid coverage survey, followed by an awarenessdrive and vaccination camp lasting three days, and running into the lateevenings. Night camps were organized at three different sites, which resultedin the successful facilitation of vaccine doses at times convenient to thecommunity. The state of Maharashtra, the tribal populationof Nandurbar (district) is occupied in daily wage work. Due to the workers\u2019busy daytime schedules, they were unable to make time for vaccination.Successful advocacy by the project team with the district administration ledto the organizing of night awareness-and-vaccination camps in the tribalsettlements, resulting in outreach to 15,000 people with messages and nearly1450 people with vaccination. In the Punjab,Rajasthan, and Chhattisgarhx.Similar initiatives were taken in other states such as Monitoring & evaluation: The state project teams supported government officials with their data management systems to ensure consistent data collection, systematic data cleaning, and sufficient analytics. Using the CO-WIN data portal which has been developed by the Government of India, the project team supported state governments with management information system (MIS) based factsheets for better decision-making, informing strategies to address low vaccine coverage and assessing the effectiveness of NGO-led interventions.The state dashboards were automated for all 18 project states; the one presented in Knowledge sharing is imperative to collaboration. For uninterrupted functioning of the project collaboration, all partners under the project met with donors at the national level each month to discuss synergy in all critical areas of work. The project also conducted reviews/knowledge-sharing meetings with the NGOs and government at the sub-national level to share best practices and key learnings on the engagement of marginalized and vulnerable groups at the field level and share the support received from the local administration in all project regions, especially hard-to-reach areas, for vaccine supply.To increase the demand for, distribution of, and uptake of COVID-19 vaccination, particularly among vulnerable and marginalized populations, it was important to build public trust in vaccines and seek public participation. The project team, therefore, identified NGOs for partnership in districts that had low COVID-19 vaccination coverage in discussion with the state governments and were highly ranked in the priority list of state governments. The main objective of the collaboration was to identify low coverage and/or inaccessible areas; engage in the prioritization of these areas; and support vaccine delivery planning and supply-side interventions, demand generation through community engagement, and social mobilization. The project team and collaborating NGOs joined hands to support the physical mobilization of the elderly and persons with disabilities to vaccination centers; establish referrals, link-up beneficiaries for enhancing vaccine access and conducting follow-ups, and conduct need-based assessments to understand misconceptions regarding COVID-19 vaccination and combat vaccine hesitancy. The state project teams facilitated training for the onboarded NGOs\u2019 human resources on project implementation activities. For effective counseling and outreach efforts, a detailed set of reference materials, including interpersonal communication (IPC) for rapport-building and frequently asked questions (FAQs) were used to allay fears and mitigate negative messaging in the community. The NGOs brought different forms of expertise and helped reach various marginalized and neglected groups, as depicted in Box 2The project team collaborated with ground-based NGOs withdiverse areas of specialization to mitigate the varied set of projectchallenges:Church\u2019s Auxiliary for Social Action (CASA), an organization specialized in working with hard-to-reachcommunities in the northeastern region of India, has a strong presence amongthe faith-based community, and works closely with them to address commonmisconceptions and/or misinformation which cause vaccine hesitancy.HelpAge India, withits expertise in providing elderly care, aided the project in overcomingresistance, mobility restrictions, and the digital divide among the elderly.Samarthan-Centre for Development Support, with its deep-rooted presence in tribal populations inChhattisgarh, helped build trust in COVID-19 vaccination among hard-to-reachpopulations.Shanta Memorial Rehabilitation Centre (SMRC) worked strongly to implement the \u201cNear to homevaccination\u201d advisory by MoHFW for all individuals who were unable to leavetheir homes for a variety of reasons, including illness and disabilities.Transport Corporation of India Foundation (TCIF) supported the vaccination of the truckercommunity and allied populations.Gilmore et al. in 2020 identifiBox 3North India: Theproject team worked closely with the Sikh Gurudwara Prabandhak Samiti (SGPC)in the state of Punjab. It conducted awareness generation activities andbeneficiary counseling, shared a written appeal in favor of COVID-19vaccination, and facilitated regular announcements from gurudwaras, whichhelped build vaccine confidence and enhance community engagement among thepopulation of the state. The team also facilitated vaccination near theplaces of worship.Central India: Theproject team worked closely with religious and community leaders of TajjulMasjid (one of the biggest mosques in Asia), which is located in Bhopal, thecapital city of Madhya Pradesh. The project team, under the leadership of thestate government, sensitized and facilitated vaccination for around 400religious leaders from various parts of the state, who in turn pledged tosupport COVID-19 vaccination from various mosques in the state. As a resultof sensitization, the Masjid undertook intensive community-engagementactivities to spread awareness, such as sharing messages through amplifiedannouncements and local television.North East India: In northeastern states,the project team collaborated with churches to create awareness among andmobilize people for vaccination by organizing vaccination camps on churchpremises, which helped to build vaccine confidence among the masses. Thereligious leaders were facilitated with vaccination on a priority basis sothey could motivate community members to become vaccinated. The strategy adopted by the project team was guided by inclusivity\u2019, and \u2018equity\u2019, and was well-aligned with the government\u2019s strategy for COVID-19 vaccination. However, achieving this strategy necessitated improved access, awareness, and demand generation among the most vulnerable and marginalized groups. Since the project NGOs are deeply entrenched in the project geographies and trusted by the target communities for their health-related needs, they were instrumental in identifying \u2018influencers\u2019 from the community, making for an impactful initiative.Among the transgender community in Chhattisgarh, the team identified and engaged two influencers who were members of the Third Gender Welfare Board constituted by the State Government of Chhattisgarh. Similarly, the team collaborated with a local community in Manipur to create and disseminate socially-inclusive messages and social media posts on vaccine uptake among the targeted marginalized communities of lesbian, gay, bisexual, transgender, intersex, queer/queer-questioning, asexual people (LGBTQI+); people living with HIV/AIDS (PLHIV); individuals who were homeless; orphans; and older adults. The case has been depicted in Box 4The project team identified the \u2018transgender community\u2019as a sub-group that was vulnerable to COVID-19, but that remainedmarginalized and could not access vaccination campaigns. The transgendercommunity in the state of Chhattisgarh was hesitant to take the vaccine becausemany of them were receiving hormone replacement therapy (HRT), and believedthat the vaccine would be unsuitable for them. Moreover, with the highprevalence of STDs and the widespread use of HRT, the community believed themyths that vaccination would adversely affect their health due to druginteraction. To increase vaccine uptake among this community, the projectteam identified a key influencer/ leader from the group who was receptive tovaccination messaging. The team conducted interpersonal counseling sessionswith the leader, and developed and showed videos of positive behaviourregarding the safety of vaccines to the community leader. The receptiveleader in Chhattisgarh received the first vaccine dose, which motivated theremaining transgender community to take their own vaccinations.Community engagement was made possible by unconventional partnerships that contributed to improving COVID-19 vaccine uptake. Some of these are detailed below.The project team engaged \u2018Persons with disabilities\u2019 using collaborative efforts and connected them to benefits provided by the social welfare departments. The team also collaborated with NGOs, which organized awareness generation activities by using sign language among teenagers with visual and hearing impairments and cerebral palsy. \u2018Drug users\u2019, often situated away from the mainstream, were apprehensive about vaccination due to misconceptions related to the safety of vaccines and fear of side effects. With the support of the Medical Officers at rehabilitation centers, NGOs organized special awareness sessions for drug users and discussed the benefits of the COVID-19 vaccine. The team engaged \u2018older adults\u2019; and \u2018pregnant and lactating women\u2019 with the help of government systems, including frontline health women workers, Community Health Officers (CHO), Gram Pradhans (village heads), and Panchayat Development Officers (PDO) (who monitor and supervise the work of Gram Pradhans), through counseling and building trust in vaccine safety. The project team mapped \u2018tribal villages\u2019 with low COVID-19 vaccination rates in states like Jharkhand, Odisha, Chhattisgarh, and Maharashtra. The project team and NGO staff covered long distances to interact with the communities through folklore activities, in which storytelling was done through acting.The project, with its prompt and proactive on-ground implementation, reached approximately 50 million beneficiaries (January\u2013December 2022) through IPC, mid-media , hard-copy prints , and telephonic reminders (on the due date of vaccination and publicizing upcoming camps). The administration of more than 14 million vaccine doses was facilitated between January and December 2022 through ground-based activities by local NGOs and project teams, including mobilizing, facilitating hard-to-reach populations to ongoing camps, and organizing special vaccination camps. Since, the modalities were culturally acceptable to the target communities, they had a significant contribution in bringing the marginalized communities to the public health mainstream. A significant proportion of doses were facilitated for vulnerable populations (6.1 million). The results are listed activity-wise below.Apart from mobilization and camp facilitation, this success can also be attributed to the IPC efforts of the project. Since the funding mandate prevented the project\u2019s communication activities from using mass media such as social media, TV, radio, etc., the outreach workers utilized innovative communication methods such as folklore, engagement of FBOs, street shows, engagement through community champions etc. Considering the rapid nature of the COVID-19 vaccination initiative and the inaccessibility of the target group, the 14.1 million doses made a significant contribution to reaching the unreached.To ensure the fulfillment of one of the key objectives of reaching marginalized and vulnerable population groups, the project team organized special camps to ensure adequate participation of target beneficiaries. During the 18 months of project planning and execution, the team gained several learnings regarding the effectiveness of the activities and interventions. State and demographic-wise data can be obtained upon request. The detailed results of MEL activities are outside the purview of this document. The current focus is on highlighting the structured collaborative approach for replication and adaptation in research and practice. The results have been shared briefly to indicate the contribution of the project to COVID-19 vaccination of individuals at an overall and demographic level.Engagement of government stakeholders: Involving government staff at all levels facilitates the timely implementation of interventions in hard-to-reach areas and catalyzes feedback and action.Involvement of local NGOs: Engaging with local NGOs is an effective mechanism for accelerating social and community mobilization. Local NGOs with a strong ground presence and footprint help to quickly map and reach out to target audiences and seek the support of local stakeholders such as village heads, FBOs, self-help groups, elected representatives, etc.Contextualization of information, education, and communication (IEC) materials: The development and adaptation of available IEC materials in local languages and local formats ensures quick vaccine acceptance and community action.Customized demand generation approaches: Tailored approaches\u2014such as night camps, and collaborations with community and religious leaders to suit local needs and raise awareness of COVID-19 vaccination\u2014help in targeting specific subpopulations that might be more likely to miss vaccinations due to the fear of wage loss and other competing work and family commitments.All the approaches to vaccination were instrumental in achieving the project\u2019s objectives. Some activities that were of particular importance were:The project\u2019s collaborative approach clearly met the necessary conditions of \u2018collaborative rationality\u2019 set forth by Innes and Booher : (1) TheSeveral considerations were critical to the success of this collaborative approach, including understanding the needs and limitations of the NGOs; working directly with communities to identify appropriate outreach and engagement strategies; prioritizing strategies that supported a multi-directional exchange of information; and adapting strategies based on grounded realities and internal lessons learned. Strategies evolved over time, and the level and quality of community participation increased during planning and implementation. Real-time data analysis facilitated quick and timely decisions; constant effort helped establish collaborations between corporates, funding organizations, and senior team members, which developed mutual confidence because of timely and planned knowledge-sharing sessions. The team overcame many barriers; however, in the process, new obstacles emerged, ones which were then addressed by preemptive approaches. Experiences gained from the project can be used to encourage the consideration of collaborative participation in routine immunization, new vaccine introductions, and other public health programs and decision-making processes.The limitations faced during the project span bring forth certain considerations for community health practices. The challenges, limitations, and lessons from the project\u2019s implementation suggest the following considerations:\u2212A strategic orientation with a clearly determined target group and implementation approach is important to keep the activities of collaborators aligned and prevent confusion among the partners.\u2212Collaboration partners must be chosen wisely through a rigorous vetting process. In the current project, we ensured the recruitment of local Indian NGOs that specialize in dealing with specific vulnerable populations.\u2212The current project deployed the M&E indicators to keep policy partners informed and aligned with the ground realities on vaccine uptake. However, in the future, the monitoring and evaluation efforts must also be designed according to research priorities.\u2212Specific requests must be shared with collaborative partners and discussed during follow-up meetings. Achievable plans must be prepared for the next period in tandem with the capacities and potential of collaborative partners.\u2212Managerial capacities of the collaborating partners must be upgraded periodically.\u2212The management of collaborations must aim towards convening rather than commanding and constraining partners. Mutual and respectful cooperation must be fostered by sharing management responsibilities with ground-level partners.\u2212Community participation by involving religious and community leaders, CBOs, and FBOs, and facilitating a sense of ownership among them must be contemplated in the initiatives targeting marginalized, vulnerable, and hard-to-reach people. The global strategy to ensure maximum inclusion in immunization programs advocates the usage of community-based organizations in strengthening accountability and ownership for immunization at the ground level. The same could be leveraged for reaching out to \u2018zero-dose\u2019 vulnerable communities.Public health initiatives targeted at sizable populations are complex due to a combination of behavioral, psychosocial, political, and cultural factors. The conditions at the ground level (particularly in pandemics) require decision-making and the rollout of activities on a war footing. Therefore, it is important to identify and enroll people and agencies who can bring ground-level insights to the initiative and act swiftly to implement changes. Eventually, most program implementation partners enter a collaborative mode, but such collaborations are often unplanned and need-based, therefore, there is a lack of strategic orientation and trustworthiness among partners. Such arrangements often result in overlapping work, non-clarity as to objectives, and fragmentation. The authors propose that a collaborative approach must be at the heart of any vaccination or public health program of this scale. The project activities align with the Immunization Agenda 2030 (IA2030) , which eThe need to disseminate research results of public health programs beyond academic and clinical audiences has been expressed repeatedly , but limOverall, the project has devised ways to strengthen the existing healthcare system by identifying and filling existing gaps in equiBox vaccination programming. Efforts to curb vaccine-preventable diseases have, in both the past and the present, recognized the importance of collaborative partnerships which can be utilized to extend routine immunization services to regularly reach \u201czero dose\u201d and under-immunized children and communities. Engaging community-level partners and ground-based institutions broadens the horizon of public health practice. The local NGOs have a deep understanding of underlying problems in their respective communities. They hold positions of high trustworthiness and receptivity among the communities. The learnings of the project have applicability in the routine immunization program management for the equitable distribution of vaccines by prioritizing efficient storage and redistribution. The coordination between district officials and NGOs was remarkable in this project.The geographical reach and experiential attributes of these NGOs are well-positioned to be leveraged for reaching the unreached in national primary healthcare programs, with a special focus on routine immunization, strengthening of data systems, appropriate messaging, and emergency response."}
+{"text": "Worldwide efforts to standardize instruments measuring quality in psychiatric care are rare. The international project \u201cQuality in Psychiatric Care\u201d (QPC) is a large research programme aiming at adapting the versions of the QPC instrument for patients and staff to different international settings.The aims were to test the psychometric properties and equivalence of dimensionality of the different language versions of QPC and also to describe and compare the quality of psychiatric out-patient, in-patient, forensic in-patient and psychiatric care across different countries.The QPC is a family of instruments based on a definition of quality of psychiatric care from the patients perspective with adapted versions for staff. In this project, we used different language versions in three areas for patient and staff: psychiatric out-patient (QPC-OP/OPS), in-patient (QPC-IP/IPS), and forensic in-patient (QPC-FIP/FIPS).Patients in out-patient psychiatric care in Brazil rated the quality of care higher than Swedish patients. Comparisons of forensic in-patient care (QPC-FIP/FIPS) patients were more critical of the care they received while staff were generally more positive on the quality of care provided in both Denmark and Sweden. Quality of in-patient care (QPC-IP/IPS) in Spain show staff rating lower quality of care than patients and lowest in the secure environment, which the Swedish staff rated low as well. In Indonesia the patients rated lower quality than staff and lowest in the discharge dimension, followed by the participation dimension. Generally, staff and patients were similar in their perceptions of the low quality of participation. Several studies in Turkey, Indonesia, Spain, Faroe Islands and Norway is ongoing.The psychometric test and validations of the instrument QPC in different language and country versions will assist countries to compare quality of care, quality improvement and permits benchmarking. Since there are few standardized instruments for measuring quality of care in the psychiatric care, the QPC is expected to make an important contribution to the development in the field.None Declared"}
+{"text": "Editorial on the Research TopicSport as a tool for social inclusion, employment, and improved healthCurrently, sports are well-known as a prominent means to address a wide spectrum of social goals. This acknowledgement of sports' social impact has been achieved through international acts and advocacy actions involving the United Nations (UN), the International Olympic Committee (IOC), sport federations, national governments and civic society over time . A recenAs a consequence of the identification of sports as catalysts for diverse social outcomes on the global and national agenda, the sport for development and peace (SDP) movement has emerged. SDP encompasses a wide range of actions, programs and studies wherein sports are utilised and investigated as means to promote non-sporting and peace building goals . SDP stuDespite the richness of studies in the field, some open questions remain concerning the efficient use of sports as a tool for social and developmental purposes. First, the literature lacks frameworks and models guiding efficient sport-based program planning, structuring and management to maximize social outcomes \u201324. SecoMost of the researches of the Research Topic draw upon data from diverse sport-based interventions aimed at various social goals and implemented in different geographical areas, ranging from southern Africa to China, and from northern and southern Europe to Latin America. Despite the variety of social goals promoted by the programs analyzed in these studies and their geographical diversity, the articles provide similar evidence-based insights guiding: (i) the development of theoretically grounded sport initiatives; (ii) effective action planning; and (iii) efficient monitoring and evaluation of these initiatives.Burnett demonstrates that engaging in such an initiative provided the participants with a high level of soft skills transferable to the working environment. The study advocates for a robust monitoring, evaluation, and learning (MEL) framework capable of capturing the nuances of the different contexts of program implementation.Analyzing the results of a 6-month government-funded sport-for-development program implemented in Africa, with a focus on youth employability, Gozzoli et al. describe the participatory development of a training framework aimed at promoting sport coaches' awareness of their role in enhancing employability skills. The authors highlight the lack of clarity regarding the theoretical and methodological assumptions that guide the design of training courses and propose a constructivist approach to structure effective training programs for coaches.In their contribution, Commers et al. analyze a program in Flanders aimed at transferring job skills to young people through sports. The research underscores the absence of clear definitions and theoretical operationalization of program outcomes, leading to gaps in efficiently monitoring and evaluating the participants\u2019 progress within the intervention. The authors advocate for theory-based program planning, which could help outline the desired outcomes and impacts of the sport-based interventions more effectively.Gadais et al. describe the experiences of Colombian youth from disadvantaged backgrounds and program managers who participated in an SDP intervention that took them from a local community sports club to the Olympic Games. The authors recommend the intensification of evaluation research on SDP programs, including close collaboration between academics, community-based organizations, donors, and the international community.Kunlun et al. study the spatio-temporal distribution and evolution pattern of Chinese Go League Clubs and emphasize their cultural and economic impact at the local level.Finally, Commers et al. advocate for grounding and planning sport-based programs based on the principles of the theory of change. Employing the theory of change offers the advantage of anticipating desired outcomes and impacts, providing a logical sequence of actions and inputs to achieve specific social changes. On the other hand, Gozzoli et al. suggest adopting less top-down approaches and promoting participatory methods for program development, involving local stakeholders and beneficiaries at all stages of the planning process. Future research should analyze and compare the opportunities and challenges of both approaches to advance the understanding of this field.The comprehension of programme components, structure, planning and effective management remains a fundamental area for analysis to advance research and implementation in SDP . The artBurnett and Gadais et al. underscore the need to enhance M&E research in SDP. Future M&E investigations should encompass the nuanced impact of these interventions from various stakeholders' perspectives and should consider not only the individual effects of sport-based programs but also their broader economic and cultural implications .Effective program planning in sport-based initiatives is not only crucial for action delivery and impact but also has significant implications for monitoring and evaluation (M&E). There exists a circular relationship between planning, program implementation, and M&E."}
+{"text": "Natural products derived from herbal medicine are a fruitful source of lead compounds because of their structural diversity and potent bioactivities. However, despite the success of active compounds derived from herbal medicine in drug discovery, some approaches cannot effectively elucidate the overall effect and action mechanism due to their multi-component complexity. Fortunately, mass spectrometry-based metabolomics has been recognized as an effective strategy for revealing the effect and discovering active components, detailed molecular mechanisms, and multiple targets of natural products. Rapid identification of lead compounds and isolation of active components from natural products would facilitate new drug development. In this context, mass spectrometry-based metabolomics has established an integrated pharmacology framework for the discovery of bioactivity-correlated constituents, target identification, and the action mechanism of herbal medicine and natural products. High-throughput functional metabolomics techniques could be used to identify natural product structure, biological activity, efficacy mechanisms, and their mode of action on biological processes, assisting bioactive lead discovery, quality control, and accelerating discovery of novel drugs. These techniques are increasingly being developed in the era of big data and use scientific language to clarify the detailed action mechanism of herbal medicine. In this paper, the analytical characteristics and application fields of several commonly used mass spectrometers are introduced, and the application of mass spectrometry in the metabolomics of traditional Chinese medicines in recent years and its active components as well as mechanism of action are also discussed. Exploring the safety and effectiveness of herbal medicine, such as traditional Chinese medicine (TCM), is the key to its modernization and internationalization . It is oTerminal downstream products of the genome are known as the metabolome , which iAt present, there are four main analytical instruments to analyze and identify the structure of compounds, which are nuclear magnetic resonance (NMR) spectroscopy, infrared (IR) spectroscopy, ultraviolet-visible (UV) spectroscopy and mass spectrometry (MS). NMR spectroscopy has the characteristics of the same sensitivity to all detected substances, simple sample processing and non-invasiveness, so it can be applied in isotope labeling to trace metabolic pathways . HoweverHigh-resolution mass spectrometers such as Orbitrap, time of flight (TOF) and Fourier transform ion cyclotron resonance (FT-ICR) can attain a mass resolution of nearly 10 million and are suited for correctly determining the precise molecular mass and molecular structure of substances. Although high-resolution mass spectrometry is better at quantifying chemicals, the costs of both its purchase and maintenance are substantial . The mosThe quadrupole mass spectrometer (QMS) is the most classical mass spectrometer with outThe most common multistage tandem MS system is a three-stage tandem mass spectrometer--QQQ. In three-level tandem quadrupole mass spectrometry, three quadrupole analyzers are connected in series to form a QQQ sequence, which can also be called TQMS . This alin vivo metabolites of TCM can also be identified and characterized by UPLC-QTOF/MS that adds auxiliary radiofrequency to the QQQ can do selective excitation and provide the functional advantage of multistage serial for the QQQ and contemporary digital technology were combined to create Fourier transform mass spectrometry (FT-MS), also known as Fourier transform ion cyclotron resonance mass spectrometry (FTICR-MS). FTICR-MS has the highest resolving power and is often used as equipment for high-end scientific research, and its unique analytical characteristics make it an essential tool for studies on proteomics, metabolomics and complex mixtures. A common method for micromolecule and proteomic analysis uses FTICR-MS in conjunction with ion preselection and fragmentation equipment and its bonding with reversed-phase LC. The high fidelity of detection linearity and frequency determination are inherent properties of FTICR-MS, which can realize the resolution, mass accuracy and dynamic range . Since iIn the traditional MS, the new separation and measurement factor of ion mobility is added, thus constituting the IM-MS system. IM-MS has multidimensional separation, which increases peak capacity, shortens analysis time, separates structural analogues or isomers, and has multiple fragmentation modes and acquisition modes. Experimental data that cannot be provided from MS alone when IM is coupled with MS. Ion-size isomers can be measured by adding an ion migration cell to the MS. Isobaric lines and conformational isomers are separated, and chemical noise is decreased, which are characteristics of IMS. Additionally, ions with a similar charge state and those with structural similarities can be grouped into categories according to the lines where their mass-mobility relationships appear . At presin vivo and in vitro studies, the effectiveness of TCM was scientifically expressed, and the overall pharmacodynamic action process of TCM was efficiently analyzed under the premise of effectiveness. Effectiveness is a fundamental property of a drug. Despite the fact that TCM is frequently used in clinical settings, it is still challenging to demonstrate its usefulness through science . FurtherIn the clinical setting, the effectiveness of TCM is crucial. Contrary to modern medicine, TCM\u2019s multiple active ingredients are affected by a variety of parameters, including the source, provenance, and processing methods of medicinal ingredients . The nonThe quality marker of TCM is the basis of a modern TCM research system that combines macroscopical and microscopic aspects and includes the study of compatibility law of TCM compounds, the basic study of chemicals and the modern pharmacological study from the molecular point of view. The determination of TCM quality markers is based on the overall view of \u201cpharmacodynamic components,\u201d, that is, those that have clear chemical structure and biological activity. It is conducive to carrying out layer-by-layer analysis of the pharmacodynamic components that play an important role in TCM, and gradually elucidating its pharmacological effects and mechanism of action, which is the premise for traditional Chinese medicine to carry out subsequent research.TCM formula has always been the most common type of medication in clinical research, and it is a group of drugs that are properly compatible according to the composition principle after selecting the appropriate dosage of drugs after determining the treatment method based on syndrome differentiation examination. TCM formulas containing two or more medicinal herbs tend to obtain better efficacy and fewer side effects than the single herbs . Jun-Chein vivo, that is, the effects of TCM compatibility on in vivo processes such as absorption, distribution, metabolism, and excretion, and finally reflect the synergistic or resistant biological effects in TCM compounds through effect indicators, bioavailability, and target recognition.The research on the chemical constituents of Chinese herbal compounds alone is not enough to clarify the compatibility law of Chinese herbal compounds and their basic efficacy and mechanism of action. As a result, using mass spectrometry, it is necessary to analyze the qualitative or quantitative changes in active ingredients of drugs before and after compatibility, study the pharmacokinetic interactions Although there is only one drug, single herbs contain a variety of active ingredients. While TCM formulas are composed of several herbs and dozens of components, these components are decomposed into countless chemical molecules, so elucidating the mechanism of action of TCM is a very difficult thing . Metabolvia integrating UPLC-QTRAP-MS, GC-MS, Western blotting and molecular docking techniques. Ultimately, it was discovered that the main targets of the QRKSG for the therapy of NS were AKT1, MTOR, CASP3, and BCL2L1. Hydroxysaffloryellow A in the treatment of traumatic brain injury, as PTGS2, XDH, NOS1 and ACHE. Many studies showed that the main active components of TCM can target one or more specific molecules and thus perform a variety of clinic treatment functions . ExploriA large number of research studies have shown the utility of metabolomics in discovering the pharmacodynamic material basis of TCM and TCM formulations . The phaMetabolomics, as a science that can comprehensively analyze the metabolome, can elucidate the mechanism of action and the change rule of action of TCM by specifically comparing the changes in metabolic profile. It provides a powerful grasp of \u201cmulti-component-multi-target\u201d for TCM, and provides a more scientific and reasonable comprehensive explanation for elucidating TCM. As the most important instrument for the analysis and identification of compound structure, MS lays the foundation for the scientific elaboration of the metabolome change contour, pharmacodynamic material basis, mechanism of action, safety, and compatibility principles of TCM. Metabolomics also emerged as a result of the development of MS. With the addition of high-tech and more MS databases, the characterization and identification of metabolites are also more accurate.With the advancement of science and technology and the passage of time, the types of MS and MS-based analysis technology have been continuously updated, reformed and broken through, and the sensitivity, scope of application, throughput and identification technology of instruments have been greatly improved. The development of MS has contributed to the promotion of metabolomics applications, giving researchers a more comprehensive understanding of small molecule metabolites. Although mass spectrometry has the traits of high resolution, good precision, and maximum throughput, the research progress of metabolomics is still slow due to the complexity of organisms, the huge number of metabolites, and unrepeatable experimental protocols in different laboratories. Different types of MS have their own advantages, and appropriate mass analyzers are selected according to different sample characteristics and requirements. Compared with the acquisition of data, the subsequent processing and mining of data are the bottleneck problems facing metabolomics. Although the existing metabolome database has shortcomings in terms of scale, the open MS database and shared metabolome dataset provide convenience for the qualitative identification of metabolomics. Introducing the quick algorithms of computers into the field of metabolomics is of great help to the annotation as well as the accuracy of the data. The research direction of multi-omics conforms to the root of the overall regulation of organisms, and multidisciplinary cross-fusion can promote the development of metabolomics."}
+{"text": "According to current diagnostic systems, affective symptoms do not represent a fundamental criterion for the diagnosis of DD. However, numerous studies have highlighted frequent comorbidity between DD and Mood Disorders and have elucidated the importance of the affective state in the development and persistence of delusions. Thus, some factor analysis studies have identified the existence of a depressive dimension in DD, suggesting a substantial psychopathological heterogeneity in DD. However, these important affective features have not evaluated from a phenomenological point of view and in their relationship with delusions.The aim of the present study is to investigate the relationship between personality, trait affectivity and severity of delusions in patients with Delusional Disorder (DD).Thirty-two outpatients affected by DD were administered the Structured Interview for DSM-IV-TR Personality Disorders (SIDP-IV), the Pathological Narcissism Inventory (NPI), the Positive and Negative Affect Schedule (PANAS) and the Psychotic Symptom Rating Scale (PSYRATS). Next, we analysed the prevalence of personality disorder in our sample of patients with DD and studied the correlations between the severity of delusions and the different affective variables. Finally, we obtained a multivariate explanatory model of the severity of the delusions.The severity of delusions was directly associated with \u201cGrandiose Fantasy\u201d item of narcissistic personality and inversely related with the feelings of shame, fear and guilt. In the multivariate model, the feeling of shame was the only independent variable capable of accounting for the severity of the delusions, that, in in DD patients, would lie on an affective core of shame.The severity of delusional beliefs in DD patients would lie on an affective core of shame upon predisposing personality traits. These findings could help to develop a psychotherapeutic approach for delusional patients focused in the feeling of shame.None Declared"}
+{"text": "Dear Editor,Bruton's tyrosine kinase (BTK) is essential for the development and maturation of B-lymphocytes. These cells do not mature in individuals with mutations in this enzyme, and they have X-linked agammaglobulinemia, the most common type of congenital agammaglobulinemia.BTK is also expressed in tumor cells, and its inhibition is gaining increasing importance in the treatment of B-lineage neoplasms.Ibrutinib is a potent irreversible BTK inhibitor and was the first inhibitor of this enzyme approved by the FDA for the treatment of the following diseases in adults: 1) Chronic graft-versus-host disease, after the failure of one or more systemic therapy lines; 2) Chronic lymphocytic leukemia/small cell lymphocytic lymphoma (CLL/SCLL); 3) CLL/SCLL in adults with 17p deletion; 4) Mantle-cell lymphoma in adults who have received at least one prior therapy; 5) Relapsed/refractory marginal zone lymphoma, in adults who require systemic therapy and have received at least one prior anti-CD20-based therapy; and 6) In Waldenstr\u00f6m's macroglobulinemia.The described side effects are fatigue, diarrhea, peripheral edema, cardiac arrhythmia , bleeding, and infections (respiratory tract).6Ibrutinib can have cutaneous adverse effects, with a peak incidence in the first year of treatment. The most common manifestations are skin rash, petechiae and ecchymosis. Also, urticaria, herpes simplex and herpes zoster reactivation, panniculitis, and Stevens-Johnson syndrome may occur.7Despite the specificity for BTK, some skin effects are similar to those produced by EGF inhibitors,in natura with scanning electron microscopy. At medium magnification, discreet longitudinal channels were observed in the hair shafts (A 72-year-old patient who had received ibrutinib for six months to treat mantle lymphoma unresponsive to conventional therapy was assessed. The patient reported a slight alteration in his hair, with a change in its curling . Some har shafts A and B, r shafts C. At higr shafts .Figure 1The authors did not find any reports in the literature of an examination of hairs shafts with scanning electron microscopy showing alterations caused by ibrutinib. There are some reports with EGF inhibitors, in which channels were also described in the hair shafts,The findings of this patient demonstrate, on ultrastructural examination, a similarity between the alterations of EGF and BTK inhibitors.BTK inhibition is an expanding concept in the treatment of hematologic malignancies, with 22 drugs under development, and the emergence of drugs with less systemic and cutaneous toxicity is possible in the near future.12None declared.Hiram Larangeira de Almeida Jr: Approval of the final version of the manuscript; design and planning of the study; drafting and editing of the manuscript; collection, analysis, and interpretation of data; effective participation in research orientation; intellectual participation in the propaedeutic and/or therapeutic conduct of the studied cases; critical review of the literature; critical review of the manuscript.Debora Sarzi Sartori: Approval of the final version of the manuscript; design and planning of the study; drafting and editing of the manuscript; collection, analysis, and interpretation of data; intellectual participation in the propaedeutic and/or therapeutic conduct of the studied cases; critical review of the literature; critical review of the manuscript.Douglas Malkoun: Approval of the final version of the manuscript; design and planning of the study; drafting and editing of the manuscript; collection, analysis, and interpretation of data; intellectual participation in the propaedeutic and/or therapeutic conduct of the studied cases; critical review of the literature; critical review of the manuscript.Carlos Eduardo Pouey Cunha: Approval of the final version of the manuscript; design and planning of the study; drafting and editing of the manuscript; collection, analysis, and interpretation of data; intellectual participation in the propaedeutic and/or therapeutic conduct of the studied cases; critical review of the literature; critical review of the manuscript.None declared."}
+{"text": "Neural plasticity promotes the reorganization of language networks and is an essential recovery mechanism for poststroke aphasia (PSA). Neuroplasticity may be a pivotal bridge to elucidate the potential recovery mechanisms of acupuncture for aphasia. Therefore, understanding the neuroplasticity mechanism of acupuncture in PSA is crucial. However, the underlying therapeutic mechanism of neuroplasticity in PSA after acupuncture needs to be explored. Excitotoxicity after brain injury affects the activity of neurotransmitters and disrupts the transmission of normal neuron information. Thus, a helpful strategy of acupuncture might be to improve PSA by affecting the availability of these neurotransmitters and glutamate receptors at synapses. In addition, the regulation of neuroplasticity by acupuncture may also be related to the regulation of astrocytes. Considering the guiding significance of acupuncture for clinical treatment, it is necessary to carry out further study about the influence of acupuncture on the recovery of aphasia after stroke. This study summarizes the current research on the neural mechanism of acupuncture in treating PSA. It seeks to elucidate the potential effect of acupuncture on the recovery of PSA from the perspective of synaptic plasticity and integrity of gray and white matter. Poststroke aphasia (PSA), a language-acquired disorder, is one of the most devastating symptoms after stroke. PSA affects approximately one-third of stroke patients, and 30\u201343% of them suffer from long-term effects of aphasia , 2. PeopAcupuncture promotes the process of repairation of the nervous system by regulating neuroplasticity. As one of the ordinary means for PSA treatment, acupuncture has unique advantages in alleviating PSA. Acupuncture has the characteristics of evident efficacy, low price, flexible use, and few adverse reactions. According to traditional Chinese medicine theory, acupuncture applied to specific acupoints can dredge meridians, reconcile Yin and Yang, strengthen the body resistance, and dispel blocked energy by acupuncture on specific acupoints. Thus, acupuncture is one of the alternative methods that has been a favorable choice for PSA patients who need long-term treatment .In this study, we summarize the effects of acupuncture that promoting the recovery of PSA patients and review the language processing of PSA and its regulation at the cellular and molecular levels to provide a complementary perspective, and promote neuroplasticity.PSA is mainly related to infarction in language function-related areas, especially in the middle cerebral artery (MCA). Lesions, such as hypertension and ischemia, cause arterial stenosis or occlusion in these related areas, reducing blood perfusion and blood flow in the penumbral area, and thus affecting the corresponding language function \u201314. The 2+-ATP pump) on the cell membrane. Then, excessive neuronal depolarization, excitatory neurotransmitter release, and reduced neurotransmitter reuptake occur in the extracellular space, resulting in an increased intracellular calcium ion (Ca2+) concentration. Accumulation of calcium ions causes a downstream neurotoxic cascade, including calcium-dependent enzymes and hyperactivation of signaling, causing impaired neuronal function and irreversible damage . NM. NM51]. Evidence has demonstrated the exact efficacy of acupuncture therapy on CNS plasticity. Acupuncture-induced neuroplasticity is associated with neurotransmitters and NTFs, which may be the potential molecular basis for promoting aphasia recovery. Neuroplasticity is an important bridge to promote the recovery of neurodegenerative lesions . Almost Although the increasing number of neuroimaging studies on PSA have significantly advanced the knowledge on the mechanisms of PSA recovery, many issues remain unresolved regarding the mechanism of acupuncture on PSA. We analyze the literature and propose that the language recovery mechanism under acupuncture may involve two points: (1) glutamate receptors and neurotransmission of neurotransmitters may play a key role in the normal physiological process of language and the transmission of language information; (2) astrocytes exert an effect on neural plasticity through cellular homeostasis, and therefore intervene in the recovery of language function. This cellular homeostasis improves the outcome of PSA by promoting synaptic reconstruction and remodeling nerve conduction pathway. This study emphasizes the effect of acupuncture, and how can glutamate receptors, neurotransmitters, and astrocytes shed light on the biological mechanisms of acupuncture and neuroplasticity, and increase our understanding how acupuncture affects specific language disorders by regulating dysregulation of neurotransmitters/astrocytes."}
+{"text": "Editorial on the Research TopicSex differences in adiposity and cardiovascular diseaseSex Differences in Adiposity and Cardiovascular Disease was proposed a few months before the COVID pandemic by AJ from the University of Mississippi Medical Center (USA) and ROM from the Universidad Nacional de Tucuman (Argentina) with the goal to aid the understanding of the role of the body fat constitution as a cardiovascular risk factor, and whether this risk is similar for men and women. In addition to this, to determine if sex steroids play a specific role either in the health of females and males.The Research Topic Today, although there is progress in the study of the effect of sex hormones on the adipocyte\u2019s metabolism and distribution, its role is still unclear in cardiovascular and metabolic diseases. Controversial evidence suggests that different fat types contribute to the high risk of cardiovascular events . Thus, vZhao et al. examines the association between hypertension and its control with atrial fibrillation and how the biological sex affects this association. The original research study by Khatami et al. explored whether iron biomarkers mediate sex differences in NT-proBNP levels. Authors investigated, using linear regression analyses, the association of sex and iron biomarkers with NT-proBNP levels, independent of adjustment for potential confounders. Another original research study by Li et al. examined the effects of age and sex on outcomes of coronary artery bypass grafting (CABG) and percutaneous coronary intervention (PCI) in non-ST-segment elevation acute coronary syndrome (NSTE-ACS) patients with the three-vessel disease (TVD) and the interaction between treatment and age or sex in NSTE-ACS and TVD. Finally, the cohort study by Huang et al. showed the sex difference temporal trends of short-term and long-term mortality after CAD admission in China. It was based on 11 years of data from a sample of 24,432 people in the largest cardiovascular disease center in South China.In our proposal, we received six original research manuscripts that indirectly fill the aim of our topic and contribute to the leading journal Frontiers in Global Women\u2019s Health. Of 100% of the manuscript submitted to our topic, 67% were accepted, and 33% were rejected. The case-control study by In this experience, we learned to manage different situations involved during the publication process, where, in the present day, the offer to publish and review manuscripts is increasing. The limitation was finding reviewers for the specific field."}
+{"text": "Over the last decade, there has been an increase in research surrounding the specific pathologies related to gene mutations in ALS and FTLD. It has long been recognized that familial forms of these diseases can show hallmark pathologies related to mutations, e.g., ALS-FUS or FTLD-MAPT. This has been expanded recently by the identification of the C9orf72 expansion and its characteristic pathology . HoweverHenderson et al. discuss the evolution of the frontal lobes, metabolic adaptations during human evolution, and the consequences of aging on neuronal processes, linking them to known ALS/FTD pathomechanisms, mainly those related to RNA/protein turnover. The authors propose that neurodegenerative processes affecting the frontal lobes, specifically ALS and FTD, may result from a mismatch between cellular and metabolic pathways and increasing lifespan within an evolutionary framework.We have therefore collected, in this Research Topic, a number of papers that cover various aspects of neuropathology, pathophysiology, biomarkers, and genetics related to ALS and FTD. Butchbach and Scott. They offer their perspective on novel conceptual frameworks which could help find common therapies for MNDs. They point out how research has so far mainly focused on investigating the pathomechanisms linking mutations in a gene to a certain MND and propose an alternative system biology approach to understand early-onset MNDs, paving the way for new therapeutic possibilities for these diseases.A general overview of biological networks and complexity in early-onset Motor Neuron Diseases (MNDs) is given by Scarian et al. report recent findings on the role of the valosin-containing protein (VCP) gene, an ATPase involved in many different biological functions including protein degradation, autophagy, and lysosomal and mitochondrial homeostasis. The authors report evidence of possible therapeutic approaches targeting the VCP pathway, describing the use of many different drugs already developed for the treatment of other diseases, such as VCP inhibitors able to: (i) prevent muscle cell death and restore muscle integrity and mitochondrial size in VCP mutants; (ii) increase the oxygen consumption rate of patient's fibroblasts; and (iii) reverse the mislocalization of TDP-43 and FUS in mutant motor neurons.This Research Topic also concentrates on the role of causative genes shared in ALS and FTD, highlighting possible therapeutic approaches for these gene mutation-linked diseases. Zhang et al. investigate the correlation between serum NfL levels and the severity of lower motor neuron (LMN) axonal degeneration in patients with ALS, particularly in the early stages of the disease. The authors show that the use of NfL blood levels reflects the extent of limb LMN axonal damage but not upper motor neuron involvement among ALS patients, indicating that the use of this biomarker may have a profound effect on patient selection and efficacy monitoring of treatment in disease-modifying clinical trials.Additionally, the field shows interest in studying the role of neurofilament light chain (NfL) as a biomarker in ALS that can provide a deeper understanding of the pathophysiological mechanisms and potentially effective therapies for this disease. In their prospective cross-sectional study, The four articles included in this Research Topic provide an overview of the current state-of-the-art research on the role of gene mutations in the neuropathology of ALS and FTD, ranging from characterizing the pathomechanisms related to a specific genetic variation to re-evaluating biomarkers useful for the stratification of patients and directing the search for disease-modifying therapies. Much has been done and much needs to be done to better describe the gene-linked pathology in ALS and FTD. Traditional and new technologies still show many limitations, for example, in detecting the correct size of large expansions of C9ORF72, and better biomarkers are needed. The next decade promises to shed light on new aspects of the relationship between gene mutations, disease pathology, and clinical manifestation in ALS and FTD, enabling improvements in treatment and the finding of effective cures for these devastating diseases.Both authors listed have made a substantial, direct, and intellectual contribution to the work and approved it for publication."}
+{"text": "In the age of neural networks and the Internet of Things (IoT), the search for new neural network architectures capable of operating on devices with limited computing power and small memory size is becoming an urgent agenda. Trends in the development of artificial intelligence (AI) applications in the field of the Internet of Things include smart healthcare services ,2,3,4,5,AI technologies for IoT devices and edge computing are demanded in mobile healthcare , as well as in close application domains. Ambient intelligence (AmI) environments are constructed in IoT domains to provide smart services based on real-time analysis of human cognitive and motion functions. This Special Issue focuses on recent developments in the constantly growing application field of computing technologies and artificial intelligence algorithms. It includes new approaches to the organization of artificial intelligence on edge devices, as well as the organization of modular, feed forward, distributed, reservoir, recurrent, convolutional, and deep neural networks for various IoT-enabled smart applications. The guest editors are Andrei Velichko (Institute of Physics and Technology), Dmitry Korzun (Institute of Mathematics and Information Technology), and \u0438 Alexander Meigal ; they are all from Petrozavodsk State University, Russia.The Special Issue collects eleven papers to provide a multi-domain overview of the trends and developments in the edge computing and starts with the illustration of achievements in smart healthcare services. The digitalization of healthcare driven by the IoT and AmI leads to the effective use of sensors, when various parameters of the human body are instantly tracked and processed in daily life ,2. The cAn IoT-enabled system to monitor gait in subjects with Parkinson\u2019s disease is presented in study . ParkinsSmart healthcare applications, the Internet of Things (IoT), and artificial intelligence are arguably the most appropriate customized solutions for such shortcomings of traditional healthcare systems, such as long waiting times, unnecessary long trips to health centers, high costs, and mandatory periodic doctor visits. The comprehensive literature review determinAnother illustration of the effective application of neural networks in healthcare is presented in study . Speech The realm of smart object-recognition applications of AI systems is presented in the subsequent articles ,7,8. DriFor the IoT-enabled smart applications, point clouds are one of the most widely used data formats created by depth sensors. Research on feature extraction from disordered and irregular point cloud data has advanced recently. The overview of the dThe research direction of smart environment monitoring is presented by the study , in whicSmart disaster rescue is presented by an interesting development of a wearable device for search dogs that recognizes the behavior of a dog when a victim is found, using deep learning models . With thIn conclusion, this Special Issue illustrates advanced cases of using the AI technology for IoT-enabled smart applications. Each case demonstrates a promising trend for applying AI in IoT environments, making a step towards the effective use of modern technologies in our everyday life."}
+{"text": "On 19 April 2022, in order to overcome a succession of recent global food health and agriculture safety (FHAS) incidents, the Taiwanese government instituted and announced 20 comprehensive Articles under the Taiwanese Food and Agricultural Education Law (TFAEL) for regulating the Taiwanese FHAS in order to completely construct the international strategies under the current global food security challenges of the FAHS. As a result, this research study firstly employs the learning community model (LCM) of the learning theory to measure the implementing depth of the international sustainability practice of the 20 Articles of the Taiwanese FHASE from a learning performance analytical perspective. Then, the social learning theory (SLT) of the educational theory is applied to consolidate the individual behaviors of the relative stakeholders, the organizational management of the relative industries and the socialized consent of the multilateral organization performance assessment network (MOPAN) of the Food and Agriculture Organization (FAO) of the United Nations (UN). After completing quantitative and qualitative analyses, the two most valuable conclusions and findings were as follows: (1) Not only Article 12, but also Articles 3, 4 and 5 of the new law can empirically facilitate strategic management for supporting and promoting the Taiwanese FHAS educational policy dialogue at a global, regional and country scale in order to effectively advance the international sustainable compatibility of the TFAEL. (2) Articles 6, 11 and 16 of the new law can completely construct operational management for building normative and standard-setting Taiwanese FHAS educational works in order to efficiently advance the international sustainable compatibility of the TFAEL. Therefore, beyond the analytical results of this research, the international sustainable compatibility of the TFAEL provides a direction for the development of sustainable food systems, food policies, agricultural food markets and food chains in order to overcome the various contemporary global food security challenges. For a long time, governments have paid attention to stabilizing the supply and volatility of food prices and crops, and to technical guidance and marketing promotion on the agricultural production side. Further, most people have deemed that the food health and agriculture safety (\u201cFHAS\u201d) issue is the government\u2019s responsibility , which rRecent incidents of the Taiwanese food health and agriculture safety (\u201cTFHAS\u201d) include the contaminated soy sauce and starch food safety incident in 2013, the rancid cooking and feed oil that was used as edible oil in 2014, the \u201cMin Dou\u201d pesticide residue food safety incident of schools\u2019 nutritious lunches in 2014, the pesticide residues in tea beverages in hand-shaken beverage shops in 2012 and 2015, the presence of antibiotics in honey in 2015, the high fipronil content in eggs in 2017, the pudding powder and other products made with expired additives in 2018, and in 2019, a high fipronil content was once again detected in eggs. Therefore, the Taiwanese public has started to break their silence by expressing their own opinions on FHAS. They strongly request more TFHAS regulations and rules in nutrition, housekeeping, health, food health, agriculture safety and ecological education. In order to effectively reflect these public requirements, the Taiwanese government has specially integrated not only the TFHAS standards, but also educational concepts and behaviors into the legislation source design of the 20 Articles of the Taiwanese Food and Agricultural Education Law (\u201cTFAEL\u201d) on 19 April 2022 to overcome the current global food security challenges. Firstly, the TFAEL has officially declared the Executive Yuan, at the Council of Agriculture, as the main authority responsible for the entire TFHAS. Secondly, new goals and principles were incorporated into the TFAEL in order to bring positive benefits to the expansion of domestic ingredient use for local production and public consumption ,7,8.However, it is difficult to make a comprehensive survey on the international sustainable compatibility of the TFAEL ,10,11 afIn order to extensively consider the educational sustainability of these 20 Articles of the TFAEL, the public, democracy and pursuing excellence philosophies of the learning community model (LCM) from theIn In order to statistically measure the interplays, the factor analysis (FA) approachSignificantly, the 20 Articles of the TFAEL can be refined based on .Articles 1 to 4 legislatively institute the power and responsibility of the TFHAS to the relative competent authorities to effectively facilitate the participation of the Taiwanese public in promoting the developed sustainability of the TFAHS.Article 3 firstly defines the empirical implemented terms of the educational activities of the TFAHS. Its content is described as follows: \u201cTFHAS is to refer to the use of educational methods to cultivate citizens\u2019 understanding of national basic agricultural production, agricultural product processing, friendly environment, friendly production and breeding and animal husbandry, animal welfare, food selection, knowledge and practice of catering preparation, leftover food disposal, and enhance the connection between food, the environment and agriculture\u201d .Articles 4, 5 and 6 legally point out that each level of the central, municipal and local Taiwanese government must set the TFHAS-related competent authorities, responsible agencies or departments to facilitate the planning, supervision, awards and professional labor training of the TFHAS. Furthermore, these TFHAS-related competent authorities have the direct duty to organize professional committees to advance the implementation, performance, development and gathering resources for the administrative guidance of the TFHAS.Article 5 directs each TFHAS-related competent authority, responsible agency or department to take the legal rights and responsibilities to dominate the direction of international development and social needs, formulate promotion policies and set up specific implementation indicators for comprehensively developing sustainability.Article 8 states that each TFHAS-related competent authority, responsible agency or department has to regularly hold two meetings per year to update the amendment-related policies by inviting various experts, scholars and non-governmental representatives.Article 11 directly empowers each TFHAS-related competent authority, responsible agency or department to have the legal priority to expropriate local agricultural products or foods to all national government agencies (departments), public institutions, administrative legal persons, schools, kindergartens and foundations in order to sustainably develop TFHAS-related industries.(1) First session of the TFAEL:In order to improve the labeling regarding the place of production or origin, Articles 12 and 16 currently regulate that primary food staples consumed by Taiwanese people such as egg, rice, chicken, soybean, etc., must be clearly labeled to identify the origins of these primary food and agricultural products.Article 12 regulates that each TFHAS-related competent authority, responsible agency or department has to guide cater and food businesses to use local ingredients; label the origin of the ingredients according to the municipality, county (city) or township name; promote the consumption of local agricultural products; reduce food waste; reduce the amount of ingredients and reduce leftovers. Thus, Article 12 not only effectively encourages food and catering industrialists to use local ingredients while labeling the original production location and to reduce leftovers in the operation, but it also efficiently guides consumers to think about the sources of necessary ingredients by giving priority to domestic and local ingredients sourced in Taiwan.Article 16 regulates that each TFHAS-related competent authority, responsible agency or department has to set up not only a network platform to integrate relevant information, but to also construct a food and agriculture education information integration platform to strengthen consumption channel information, promote local agricultural products and labels, and integrate food and agriculture education teaching materials, teaching plans, professionals, teachers, volunteers and publicity materials.Articles 12 and 16 manifestly rule that each TFHAS-related competent authority, responsible agency or department has to design and offer the appropriate rewards to the TFHAS-related industrialists and institutions that provide outstanding contributions.(2) Second session of the TFAEL:As Taiwan is a part of the global economy, these 20 Articles of the TFAEL must not only be considered, but they must also be measurable in order to comprehensively develop the internationalization and sustainability of the TFHAS, because the international sustainable compatibility can effectively advance the legitimacy, effectiveness, implemented performance and international sustainability of the TFAEL through the international sustainable compatibility.In order to achieve the research goal, the institutional theory (IT) was applied to emphasize the impact of institutions on the international convergence of the TFHAS. It can be argued that the TFHAS system and the TFAEL rules shape the country\u2019s overall individual behaviors and organizational cooperation model and drive all Taiwanese people to adopt and abide by common legal standards through institutional norms and constraints. The institutional theory (IT) originally emerged in the late 19th and early 20th centuries to be formed as a prominent sociological perspective used to examine the role of institutions and society in shaping individual and collective behavior. The core concepts were (1) the significance and role of normative, regulative and cognitive institutions in regulating individual behaviors and organizational policies, and (2) the role of rational\u2013legal authority and formal organizations in society. Comprehensively, the institutional theory (IT) continues to evolve, incorporating insights from other disciplines such as economics and political science. It has expanded to study fields beyond organizations, including international institutions, healthcare, education and sustainability. Continuously, a lot of researchers began to utilize the institutional theory (IT) to examine how multiple institutional logics or socially constructed systems of values, norms and beliefs coexist and influence organizations and society. This perspective emphasizes the tension and conflicts that arise when individuals and organizations are subjected to different institutional pressures. Overall, the institutional theory (IT) can not only evolve, incorporating insights from other disciplines such as economics and political science, but it can also be used to extensively study fields beyond organizations, including international institutions, healthcare, education and sustainability.In order to effectively advance the legitimacy, effectiveness, implemented performance and international sustainability of the TFAEL, the democracy philosophy (DP), pursuing excellence philosophy (PEP) and public philosophy (PP) of the learning community model (LCM) have further been employed to assess the legal educational performance and effectiveness of the TFHAS on the entire Taiwanese society, as shown in In detail, firstly, the democracy philosophy (DP) of the learning community model (LCM) can demoSecondly, the pursuing excellence philosophy (PEP) of the learning community model (LCM) can illuThirdly, the public philosophy (PP) of the learning community model (LCM) can presIn order to comprehensively assay the interactions and dependences among the democracy philosophy (DP), pursuing excellence philosophy (PEP) and public philosophy (PP) of the learning community model (LCM), the social learning theory (SLT) was further applied, as shown in Significantly, the individualism characteristic of the social learning theory (SLT) can explore both the democracy philosophy (DP) of the learning community model (LCM) and the normative considered role of the institutional theory (IT) in the TFAEL. Each Taiwanese citizen has equal rights and duties to speak and attend the various TFHAS activities and political campaigns. Particularly, the individual concepts and behaviors of the TFHAS-related stakeholders directly affect the organizational measures of the TFHAS-related industries . ReciproAt the same time, the TFHAS public consent regarding the multilateral organization performance assessment network (MOPAN) of the Food and Agriculture Organization (FAO) of the United Nations (UN) can also reversely disturb the organizational measures of the TFHAS-related industries . Critically, the TFHAS public consent of the TFHAS regarding the multilateral organization performance assessment network (MOPAN) of the Food and Agriculture Organization (FAO) of the United Nations (UN) can also directly impact the individual concepts and behaviors of the TFHAS-related stakeholders and the organizational measures of the TFHAS-related industries . MeanwhiHence, the officers and staffs of the TFHAS-related competent authorities have to accomplish a series of relative classes of the FHASE and then must report the completed learning outcomes and performances in connection with the international sustainability practice. Measurably, the first session of Articles 3, 4, 5, 6 and 11 were defined as the pursuing excellence philosophy (PEP) of the learning community model (LCM) for assessing the organizational management of TFHASE-related industries and the second the Article 12 and 16 were classified as the democracy philosophy (DP) of the learning community model (LCM) for apprIn terms of the achievement of research reliability, representativeness, validity and accuracy, this research cross-employs the factor analysis (FA) of quantitative analysis to condiariables ,32,33.XStep 1: Standardize the intersection of variance to be 1 (maximum).If maximization occurs:, the interaction-compared measurements of the \u201cdiscrete probability connections\u201d in the interactive dependences were completely computed in the entropy triangular weight ((3) from .(3)H\u00a0YXSignificantly, the interplays and dependences among the individual behaviors of the TFHAS-related stakeholders, organizational management of the TFHAS-related industries and TFHAS socialized consent of the multilateral organization performance assessment network (MOPAN) of the Food and Agriculture Organization (FAO) of the United Nations (UN) were comprehensively assessed by systematically analyzing the structure of the evaluated mode of the international sustainable compatibility of the TFHAS through the effective assessments of the triangle entropy method (TEM) of qualitative analysis.As shown in (1)The first step: We concretely explored the most core determinants of the international sustainable compatibility of the TFAEL under the current global food security challenges to achieve the main goal of this research by cross-employing the institutional, learning community and social learning theories and statistical analyses of the factor analysis (FA) and triangle entropy method (TEM).(2)The second step: We not only extensively explored the literature about the main concept of the FAHS and TFAEL, but also systematically reviewed the literature about the institutional, learning community and social learning theories as well as comprehensively integrated the statistical analyses of the factor analysis (FA) and triangle entropy method (TEM).(3)The third step: We implemented the factor analysis (FA) of quantitative analysis in detail to empirically deal with the large-scale questionnaire data with a higher research validity and representativeness, as well as used the triangle entropy method (TEM) of qualitative analysis to practically execute the expert\u2019s weighted questionnaire results with a higher research reliability and exactness.(4)The fourth step: Based on the systematic measurements and assessments of the statistical analyses of the factor analysis (FA) and triangle entropy method (TEM), we induced the valuable conclusions and contributive findings in order to academically resupply the interdisciplinary research gap and empirically provide the most effective recommendations for the international sustainable practice of the Taiwanese Food and Agricultural Education Law under the current global food security challenges.In According to With reference to the methodological measures of the factor analysis (FA) of quantitative analysis , the conEssentially, the larger the number of samples selected, the higher the accuracy of the inference of the statistical analysis results to the actual situation, which can help to avoid the effective detection of differences caused by too few samples. Significantly, the authors of addresseIn detail, there were 199 interviewees that had previously taken related courses regarding the international sustainable compatibility of the TFHAS. This induces that approximately 86.15% of the interviewees have experience with regard to the international sustainable compatibility of the TFHAS. Fifty-seven (57) out of the 231 interviewees (or 24.68%) were not willing to support the international sustainable compatibility of TFHAS, even if they were knowledgeable on the contents of Article 5 of the TFAEL. In addition, with respect to the expert\u2019s questionnaires, clearly Furthermore, Particularly, the majority of the entire commonalities of the appraised, assessed and evaluated criteria were higher than 0.6 and close to 0.7, which means there was a higher associated interplay among each criterion through measuring the 231 valid large-scale questionnaires in the FA approach of quantitative analysis.After executing the FA of quantitative analysis, the entire communalities among these four appraised, five assessed and two evaluated criteria in the 231 valid interviewed questionnaires were integrated into the computation of Equations (2) and (3) of the TEM of qualitative analysis for achieving the higher research validity and representativeness. Furthermore, the 30 valid experts\u2019 weighted questionnaires were conducted into Equations (2) and (3) of the THM of qualitative analysis through the statistic entropy method with the communalities of the FA of quantitative research. Continuously, Finally, In view of Continuously, they also agreed that the OM-BNSW of the Food and Agriculture Organization (FAO) of the United Nations (UN), the cognitive institutions role of the institutional theory (IT), public philosophy (PP) of the learning community model (LCM) and the socializationism of the social learning theory (SLT)) was affected by Article 16 , democracy philosophy (DP) of the learning community model (LCM) for the individualism of the social learning theory (SLT)) and Article 11 , pursuing excellence philosophy (PEP) of the learning community model (LCM) and the organizationism of the social learning theory (SLT)).(1)Not only Article 12 , democracy philosophy (DP) of the learning community model (LCM) for the individualism of the social learning theory (SLT)), but also Articles 3, 4 and 5 , pursuing excellence philosophy (PEP) of the learning community model (LCM) and the organizationism of the social learning theory (SLT)) can empirically facilitate the strategic management for supporting and promoting the TFHAS policy dialogue at the global, regional and country levels in order to effectively advance the international sustainable compatibility of the TFAEL. The TFHAS has instituted the source of law that the central, municipal and local levels of the Taiwanese government must set the TFHAS-related competent authorities, responsible agencies or departments to facilitate the planning, supervision, awards and professional labor training of the TFHAS. Particularly, the central, municipal and local governments also have the direct duty to organize the professional committees to facilitate the implementation, performance, development and gathering resources for the administrative guidance of the TFHAS.(2)Article 16 , democracy philosophy (DP) of the learning community model (LCM) for the individualism of the social learning theory (SLT)) as well as Articles 6 and 11 , pursuing excellence philosophy (PEP) of the learning community model (LCM) and the organizationism of the social learning theory (SLT)) can completely construct the operational management for building normative and standard-setting TFHAS works in order to efficiently advance the international sustainable compatibility of the TFAEL. Each TFHAS-related competent authority, responsible agency or department has to guide cater and food businesses and industries to use local ingredients, label the origin of the ingredients according to the municipality, county (city) or township name, and promote the consumption of local agricultural products, reduce food waste, reduce the amount of ingredients, and reduce leftovers by giving priority to domestic and local ingredients sourced in Taiwan.Since the continuous appearances of a succession of the recent global FHAS incidents, a majority of people have commenced to realize that the FHAS is not only a governmental responsibility, but that they also have a public duty. Facing the development trend of the world\u2019s FHAS, the Taiwanese government instituted the comprehensive 20 Articles of the TFAEL on 19 April 2022 for overcoming various current global food security challenges of the FAHS. In order to cross-evaluate the legitimacy, effectiveness, implemented performance, international compatibility and educational sustainability of the 20 Articles of the TFAEL, the three role considerations of the institutional theory (IT), the three essential philosophies of the learning community model (LCM) and the three basic characteristics of the social learning theory (SLT) were cross-employed to measure the large-scale and experts\u2019 weighted questionnaires through the factor analysis (FA) of quantitative analysis. As a result, the most two valuable conclusions and findings are concluded as follows:Therefore, beyond the analytical results of this research, the international sustainable compatibility of the TFAEL is a direction towards sustainable food systems, food policies and agricultural food markets and food chains for overcoming the various contemporary global food security challenges. However, as for the limited research resources, there are more measured methodologies of the quantitative and qualitative analyses to be utilized to detect the key determinants of the evaluation and construct the assessed model in the future."}
+{"text": "Conductive anaesthesia of the nerves around the head is one of the methods of intraoperative pain relief (under deep anaesthesia but before proceeding with the procedure). Performing this procedure on primates is especially challenging for the veterinarian, due to their cranial anatomy and topography, which has more in common with the human skull than with the skulls of other animals. Knowledge of key bony structures, including cranial foramina, is essential for effective anaesthesia of the cranial nerves.Colobus angolensis), Celebes crested macaque (Macaca nigra), L\u2019Hoest\u2019s monkey (Allochrocebus lhoesti), baboon , buff-bellied capuchin (Sapajus xanthosternos), black-and-white ruffed lemur (Varecia variegata), crowned lemur (Eulemur coronatus), and a ring-tailed lemur (Lemur catta) coming from the Wroclaw Zoological Garden (Poland). The cranial nerves running through the foramina have also been described and their anaesthesia techniques against bone points have been tested to relieve post-operative pain in the area of the head supplied by these nerves.In this study, the differences in the topography of the cranial foramina in eight selected species of primates were examined: Angola colobus (The tests carried out show differences in the topography of the cranial foramina, and therefore also differences in the methods of injection, so the results obtained in this study may be useful in veterinary medicine, especially for practising veterinarians. Camelus dromedarius) [Sus scrofa) [Bos taurus) [Macaca mulatta) [Cranial nerves that originate in the brain pass through openings in the skull and they innervate various tissues and organs of the head and its surroundings. The foramina differ in their structure, topography and size depending on the animal species and individual characteristics and they are a reference point for the veterinarian to perform perineural injections, for example, to relieve pain while reducing the dose of systemic anaesthetic. This reduces the risk of complications and the patient\u2019s recovery time \u20133. Regioedarius) , Eurasia scrofa) , domesti taurus) , New Zea taurus) . In addimulatta) . This memulatta) . When itmulatta) , 11. It mulatta) . Anothermulatta) . Accordimulatta) . For themulatta) , 14\u201318.The basic problem with conduction anaesthesia (nerve blocks) is the fact that the anaesthetic should not be administered into the nerve trunk itself - this can lead to serious complications, including permanent nerve damage. In addition, perineural injections carry the risk of hematoma, peripheral neuritis, or abscess . DependiThe research aimed to learn the topography of the skull of primates, paying attention to the foramina from which the cranial nerves exit. Knowledge of bone structures is necessary for the effective use of anaesthesia because some injections used in other animal species are not applicable in primates precisely because of the characteristic structure of the skull. The skull publication is only the first in a series. Part II will concern the use of anaesthesia with attention to the anatomical structures of soft tissues, i.e. major salivary glands, lymph nodes, blood vessels and nerves. Knowledge about the anatomy of above mentioned structures and the described procedures will allow veterinarians to apply the appropriate method of anaesthesia block to the appropriate nerve. Such data on exotic primates, while not necessarily of use to a general practitioner, is especially important for veterinarians practising in zoos, primate sanctuaries and national parks, and with primate researchers. However because a limited number of individuals were available in some instances the proposed routes for and placement of needles should be interpreted as guidance and less as a directive.Collection of Specimen and Conservation status. The study material compared eight adult captive species of primates: yellow Angola colobus (Colobus angolensis), Celebes crested macaque (Macaca nigra), L\u2019Hoest\u2019s monkey (Allochrocebus lhoesti), baboon , buff-bellied capuchin (Sapajus xanthosternos), black-and-white ruffed lemur (Varecia variegata), crowned lemur (Eulemur coronatus), and a ring-tailed lemur (Lemur catta) coming from the Wroclaw Zoological Garden (Poland). These animals were collected in the years 2016\u20132022 in the Division of Animal Anatomy of the Department of Biostructure and Animal Physiology, Faculty of Veterinary Medicine, Wroclaw University of Environmental and Life Sciences . The thermal dissection was completed when the remains of soft tissues were imperceptible on the bones. The skulls were then cleaned in clean running water and left in a ventilated room to dry completely [mpletely . After ampletely . Values Topography of the cranial foramina.foramen jugulare) is located on the border of the basilar part of the occipital bone and the temporal bone on both sides of the foramen magnum. In the centre of the jugular opening is the intracervical process (processus intrajugularis), which divides it into two parts. The medial part - relatively smaller - contains the glossopharyngeal nerve (nervus glossopharyngeus), the lateral part \u2013 relatively larger \u2013 contains the vagus nerve (nervus vagus) and the accessory nerve (nervus accessorius) [The jugular foramen (ssorius) \u201327. In bforamen infraorbitale) is located on the anterior surface of the maxillary body below the infraorbital margin and there may be more than one foramen. From it comes the infraorbital nerve - a branch of the maxillary nerve. The infraorbital nerve gives off the superior alveolar branches responsible for the innervation of the maxillary teeth and the terminal branches innervating the skin and mucosa of the nose, upper lip and lower eyelid [The infraorbital foramen is present in the posterior part of the palatal surface of the horizontal plate of the palatine bone, and the greater palatine nerve emerges from it [The greater palatine foramen is located on the medial side of the mandibular branch and is the beginning of the mandibular canal. The inferior alveolar nerve runs through it, originating from the mandibular nerve (nervus mandibularis), which passes into the mental nerve and exits through the mental foramen . There may be more than one mental foramen and more than one mental nerve [The mandibular foramen is located between the jawbone and the sphenoid bone. It connects with other cranial spaces through numerous openings and canals: sphenoid-palatine foramen, inferior orbital fissure, circular foramen, pterygoid canal, palato-vaginal canal, and greater palatal canal. The pterygopalatine fossa is bounded: superiorly by the body of the sphenoid bone, anteriorly by the body of the maxilla and the orbital process of the palatine bone, posteriorly by the pterygoid process of the sphenoid bone and the greater wing of the sphenoid bone, laterally by the pterygopalatine fissure , medially by the vertical plate of the pterygopalatine bone. It passes from below into the greater palatal canal. The most important nerve structures present in the pterygopalatine fossa are the pterygopalatine ganglion and the maxillary nerve (nervus maxillaris) [The pterygopalatine fossa (illaris) , 25, 33.foramen ovale) is located on both sides of the skull in the greater wing of the sphenoid. The mandibular nerve (nervus mandibularis) emerges from the oval foramen and runs nasally-inferiorly giving branches to the masticatory nerve (nervus masticatorius), lingual nerve , auricle-temporal nerve , mandibular-hyoid nerve (nervus mylohyoideus), and inferior alveolar nerve [The oval foramen (nferior) , 25, 34.Anaesthesia of the infraorbital nerve. The infraorbital nerve gives off the superior alveolar branches responsible for the innervation of the maxillary teeth and the terminal branches innervating the skin and mucous membrane of the nose, upper lip and lower eyelid.Intraoral method. The needle is inserted into the vestibule of the oral cavity, between the first and second incisor, and moved upwards and outwards, towards the pupil of the eye looking ahead [ng ahead . Baboon Anaesthesia of the greater palatine nerve. The greater palatine nerve is responsible for innervating the mucous membrane of the hard palate. The needle is inserted at the level of the last molar [st molar . It is dAnaesthesia of the mental nerve. The mental nerve is responsible for the sensory innervation of the skin of the chin and the mucous membrane of the lower lip. The needle is inserted through the skin after palpating the mental foramen with a finger. This method can be applied to all monkey species tested . Thus our proposed routes for and placement of needles should be interpreted as guidance and less as a directive."}
+{"text": "Artificial intelligence (AI) has made an indelible contribution to the progress and development of human society, which has major applications in the fields of national defense, transportation, finance, logistics, education, etc. As a branch of computer science, AI has made significant breakthroughs in machine translation, intelligent control, language and image processing, automatic programming, and storage computing. Artificial intelligence-driven healthcare technologies are rapidly evolving into solutions that are applicable to clinical practice. AI has greatly helped improve health outcomes by using patient-relevant clinical data for early diagnosis of symptoms and better prognosis. Therefore, there is reason to believe that AI can make greater contributions to the prevention and diagnosis of mental disorders.There have been relevant representative studies based on AI technology that have made breakthrough contributions in the prevention, diagnosis, and treatment of other diseases. In order to improve the applicability of AI technology in the mental disorder field, it is necessary to propose new theories, technologies, architectures, algorithms, and mechanisms. The goal of this Research Topic is to bring together relevant researchers from industry and academia to share their latest findings and developments in the application of AI in medicine, especially in the prevention and diagnosis of mental disorders. It was our unexpected pleasure to have 4 papers in this topic which reported new exciting findings and cutting edge methodologies.In this Research Topic, four articles focus on the performance of artificial intelligence in the field of mental disorders, such as symptom diagnosis, adjunctive treatment, and model optimization.Depression recognition model:Xie et al. explored the application of the depression recognition model (DR model) based on AI machine learning (ML) in the diagnosis of depression. They explored the rhythms of adrenocorticotropic hormone (ACTH) and cortisol in depressed and anxious patients and their effects on mental status, and extracted data features based on electroencephalo-graph (EEG) data from different patients to construct a DR model for diagnosis .AI-based chatbot micro-intervention for parents:Entenberg et al. investigated the effectiveness of intelligent chatbots to help parents with parenting. The authors recruited a sample of 170 parents with at least one child to participate in the chatbot intervention. Parents can learn skills for parenting such as effective praise techniques. This study analyzed the effectiveness of parenting chatbot micro-interventions, the learning gained by participants from pre to post-intervention, and the user characteristics of parents. According to the experimental results, mental health chatbots are a promising method for busy parents of children and adolescents to enhance parenting skills .Point of interest (POI) recommendation based on preference perception: Graph embeddings and graph neural networks are fail to capture deep graph structure information in point-of-interest recommendation tasks, resulting in unsatisfactory representation results. To address the above issues, Shu et al. proposed a general framework based on the diffusion of preference-aware graphs to capture the deep structural information neglected in most existing methods for POI recommendation.Understanding psychiatric illness through natural language processing: The diagnosis of mental disorders is mainly based on the level of experience of each psychiatrist and often lacks objectivity. To this end, Kishimoto et al. created a large Japanese speech dataset, used natural language processing to quantify the linguistic features of mental disorders and neurocognitive disorders. Finally, objective and easy-to-use biomarkers were developed. These biomarkers quantify the linguistic features of mental disorders, allow more detailed examination of their correlation with other clinical indicators, and improve the accuracy of disease prediction .These typical research efforts are artificial intelligence for the adjunctive treatment of psychiatric conditions, diagnosis and optimization of neural network models, which are important for the development of novel network models and intelligent diagnostic techniques. The development of artificial intelligence provides new ways of diagnosis and treatment in medicine. We look forward to closer interaction as well as breakthroughs between AI and the field of mental disorders. Finally, we thank all contributing authors for their novel research works and publishers, as well as the editorial team for their efforts in organizing this Research Topic.All authors listed have made a substantial, direct, and intellectual contribution to the work and approved it for publication."}
+{"text": "The hit-to-lead optimization, which represents a crucial step in the early drug discovery process, aims at improving the drug-likeness by modifying physicochemical properties, improving pharmacokinetic/pharmacodynamic (PD) profiles, and reducing off-target activities. Increasingly, lead optimization may benefit from the support of dictions and the dictions by adopthemistry . Howeverhemistry .Streptomyces aureofaciens, artemisinin from Artemisia afra, doxorubicin from Streptomyces peucetius, cyclosporine from Tolypocladium inflatum, and so on , Khandazhinskaya et al. describes the synthesis of a new series of 5\u2032-norcarbocyclic fleximers bearing an artificial sugar fragment with a pyrazole-containing heterocyclic base, and the inhibitory properties in respect to purine nucleoside phosphorylase (PNP). Today, fleximer analogues of nucleosides are in the crossroad of heterocyclic and nucleoside chemistry, and this class of compounds is very promising because of a wide spectrum of biological activities. Specifically, the design with the fleximer aza/deazapurine bases can ensure additional conformational freedom in order to maximize structural interactions in the active site of the target enzyme while maintaining the structural similarity with a normal nucleoside substrate. Thus, helping with better understanding of enzyme specificity. The new compounds interact with the active site of the PNP of E. coli like natural heterocyclic bases, showing weak, non-competitive inhibitory activity.The second article by VNN1 gene. The main effect of vanin-1/VNN1 is related to its pantetheinase sulfhydrylase activity, which can hydrolyze pantetheine into pantothenic acid and cysteamine. The enzymatic activity of vanin-1/VNN1 has been found to be essential in the development of many diseases. Wang et al. used fluorescent and bioluminescent probes to establish a series of visual screening methods and evaluate the inhibitory activity of a number of novel VNN1 inhibitors with different backbones. The authors demonstrated that VNN1 has a role of a pro-inflammatory agent during the onset of inflammatory bowel diseases (IBDs). Thus, the development of VNN1 inhibitors can provide a new avenue for effective IBD treatment to alleviate suffering.Pantetheinase is an enzyme that in humans is encoded by the Tamatam et al. describes methodologies and mechanistic insights for the synthesis of nitrogen-containing heterocyclic quinazolines via transition metal-catalysed reactions, paying attention to the advantages, limitations, and future perspectives of quinazoline synthesis via such reactions.Finally, the review article by In conclusion, this Research Topic of articles demonstrates the importance of the heterocycles of natural or synthetic origin in molecules with therapeutic properties and recent advances in the preparation of the quinazoline scaffold."}
+{"text": "Optimal resource allocation within national health systems represents the ultimate challenge in diverse countries worldwide. Major part of the literature points that health systems decentralization potentially address the challenge. The present commentary focuses on the debate referring to effects of health systems decentralization, based on the evidence of the study of Arianna Rotulo and colleagues. Studies on the subject emphasize the role of path dependence and the influence of choice of indicators for measurement of effects in the assessment of health systems decentralization. Acknowledging the complexity of the phenomena, the results of the study of Rotulo et al on health system decentralization in Italy are highlighted through the analysis of recent evidence from the literature. The present commentary shows that there are diverse indicators adopted in the literature on the subject, pointing to mixed results, depending on country characteristics and selection of indicators in the analysis. The synthesis of indicators gathered in recent studies also indicate that health system indicators are sensitive to path dependence, thus, requiring additional attention to assumptions of studies on health systems decentralization. Thus, studies should consider the influence of path dependence on organizational practices and institutional structures involved in decentralization processes, in addition to acknowledging that assessments on decentralization vary substantially according to indicators adopted in the analysis, and their links with previous decisions within health systems. The present commentary focuses on the debate regarding effects of health systems decentralization, based on evidence from the study of Arianna Rotulo and colleagues.4 Optimal resource allocation within national health systems represents the ultimate challenge in diverse countries worldwide. Major part of the literature points that health systems decentralization potentially address the challenge, particularly in countries with substantial intervention of the public sector, considering that the provision of merit goods may benefit from supply at local level due to in-depth knowledge of population needs and preferences.1 showed that fiscal decentralization may negatively impact health services due to intensification of existing inequalities in the distribution of resources within the country, through decrease of healthcare availability, accessibility, and utilisation. According to the authors,1 the allocation of pooling and expenditures to local governments aggravated disparities among Italian regions from 2001 until 2017, showing decrease in access and availability of resources in public hospitals, whilst increasing resources in private healthcare settings. Yet, evidence from studies assessing health systems decentralization during recent decades identifies mixed results, depending on country characteristics and selection of indicators. Rotulo et al1 Acknowledging the complexity of decentralization phenomena, Rotulo et al1 highlight negative effects of fiscal decentralization of the Italian health system through the analysis of selected indicators in the context of Italy, a high-income country. Considering elements in the literature of health systems decentralization, authors should ponder the influence of path dependence and choice of indicators for assessment of decentralization effects.Servizio Sanitario Nazionale) was intended towards promotion of universal healthcare access , funded through federal taxes and operationalized at local level. Fiscal decentralization occurred in 2001, including services restructuration and additional financing at local level with co-payment.1 First, concerning path dependence, authors emphasize historical inequalities among country regions, and underscore that the design of the Italian National Health Service or increase in unplanned readmissions . Healthcare utilization was represented by hospitalizations in public and private hospitals, potentially including premature discharges, which may lead to negative health outcomes, including complications, unplanned readmissions, and higher mortality.1 should consider interactions with other variables, since it is important to acknowledge that prevention represents lower costs and higher quality of life for individuals and populations, whilst curative tertiary level interventions result in higher costs and potential detrimental impacts on individuals\u2019 health and wellbeing. Therefore, part of the indicators in the study of Rotulo et al1 may be linked to either lower costs or higher quality of private healthcare (in comparison to public sector), or to higher public sector expenditures in prevention strategies in high-income regions, leading to improvements in population health outcomes. Finally, the potential effects of decentralization referring to expansion of private sector in low-income regions1 Costa-Font and Turati6 showed that inequalities in outcomes and outputs in Italian and Spanish health systems were associated to differences in design and management of health services by local governments, instead of healthcare decentralization processes. However, the authors adopted different measures of regional inequality output and health system outcome with different empirical strategy, based on concentration indexes, for the analysis of pre- and post-decentralization inequalities within national health systems. Contradicting the results from Rotulo et al,7 indicated potential opportunistic behaviour of local governments to benefit from spillovers from public expenditures of neighbour regions in the process of decentralization in Italy from 1996 to 2010. In addition, authors point to economies of scale, shift of demand to the private sector, and movement of individuals to regions with higher income due to unsatisfaction with local health services. The authors focused on levels of public expenditures in three sectors using spatial Durbin model to assess the impact of decentralization on spillover effects.7 De Siano and D\u2019Uva8 Evidence from studies on health system decentralization in other countries reinforce divergences according to country characteristics and type of indicator. Health system decentralization has been usually associated with beneficial results in primary healthcare in developed and developing countries,10 which are related to health promotion and disease prevention at lower costs, and associated with long term beneficial health outcomes for the population. Major part of studies on health systems decentralization focuses on indicators of responsiveness, efficiency, and effectiveness in healthcare delivery.11 showed that decentralization of governance, financing, and healthcare delivery generally present positive effects, whilst resource management decentralization may have negative effects. According to evidence from 30 European countries from 1996 to 2015, the effects of decentralization of healthcare expenditures were negative on populations\u2019 perceptions of healthcare quality.12 Cobos Mu\u00f1oz et al13 performed a systematic review of literature, showing mixed results regarding the effects of decentralization on health system indicators, although effects on indicators of system performance and health outcomes were generally positive. However, it is important to highlight that the authors assessed the quality of studies included in the systematic review, considering only 10 studies with low risk of bias. Dwicaksono and Fox14 synthesized quantitative and qualitative evidence on the effects of health systems decentralization in low-, medium- and high-income countries, indicating mechanisms and contextual factors at institutional, socioeconomic, and geographic levels influencing decentralization results on equity, efficiency, and resilience in healthcare. In addition, the decentralization process may present different effects in developing countries compared to developed countries, emphasizing the role of path dependence in the evolution of organizational practices and institutional arrangements within diverse structures of incentives. Abimbola et al14 The authors emphasize the complexity of the decentralization phenomena, showing that national and local government characteristics may influence the results of health systems decentralization. Therefore, decentralization may generate competition, cooperation, or coopetition (competition and cooperation) among organizations and governments through creation of multiple governance centres with vertical and horizontal relations amongst themselves.1 the decentralization process in the Italian health system follows the path of aggravating previous patterns of inequities through the mechanism of \u2018voting with feet,\u2019 phenomena based on the migration of individuals and resources from low- to high-income locations.13 In relation to the study of Rotulo et al,9 Recent evidence indicates that the process of decentralization may present important trade-offs between economies of scale, transaction costs and agency costs due to bureaucracy. In addition, lack of public sector accountability may support the capture of political power by local elites, jeopardizing efficiency, efficacy, and outcomes in local health systems. Thus, previous inequities in distribution of resources among local governments play important role in determining the capacity of provision of public services, contributing to divergences in results of health system decentralization.15 On the one hand, decentralization may generate disproportionate bureaucracy whilst pursuing improvements in quality, safety, and efficiency of healthcare delivery; on the other hand, health system centralization may lead to imposition of ineffective patterns for provision of health services at national level, depending on country characteristics.16 argue that health systems decentralization comprises diverse processes referring to various models of delegation or distribution of activities regarding organization, financing, management, and delivery of healthcare within different socioeconomic, cultural, and political backgrounds. Consequently, assorted degrees of responsiveness, efficiency, and effectiveness should be expected accordingly, especially considering the fundamental role of organizational practices and institutional structures in determining incentives and accountability to achieve optimal performance whilst minimizing risks of principal-agent problems.17 In fact, Costa-Font and Greer16 is supported by the synthesis of evidence on indicators gathered from studies previously discussed, reinforcing the requirement for careful consideration on the assumptions adopted in studies assessing health systems decentralization ."}
+{"text": "The grading of recommendations assessment, development and evaluation (GRADE) method was adopted for the development of evidence, evidence classification, and recommendations that can be systematically evaluated. For evidence lacking clinical research support, the quality of evidence was evaluated and recommended based on the evidence level standard of ancient books of traditional Chinese medicine, and The Appraisal of Guidelines for Research and Evaluation II (AGREE II) and The Reporting Items for Practice Guidelines in Healthcare (RIGHT) were referred to. This guideline plan mainly introduces the guideline formulation process of constructing clinical questions and selecting outcome indicators, evidence retrieval, generation of recommendations, Acute primary headache causes pain in the organism, and long-term, persistent headache is a trigger and aura manifestation for many highly disabling diseases,3 The current treatment for acute primary headache is primarily analgesia. As no clinical practice guideline exists specifically for the treatment of acute primary headache using Traditional Chinese Medicine (TCM), this guideline was developed to recommend TCM treatments for acute primary headache aimed to relieve pain and standardize clinical behaviors of physicians, and allied health professionals who treat or care patients with acute primary headache in outpatient/emergency/in-patient care. It aims to recommend TCM for the treatment of acute primary headache, and improve the management, clinical efficacy, and quality of life in patients with headache.Headache is either a disease or a clinical symptom of multiple diseases.Syndrome differentiation and modification are critical in improving the efficacy of TCM in treating acute primary headache. However, such clinical evidence is difficult to obtain through randomized controlled trials (RCTs) or systematic reviews. Ancient literature is a treasure trove of TCM, an important basis for decision making in TCM clinical practice, and has a wide range of guidance for the treatment of acute primary headache using TCM. Therefore, the ancient TCM literature was also used as a major element of clinical evidence in the development of this guideline.This guideline focuses on acute primary headache and provides recommendations for their treatment using TCM, which can be used as a guide and reference for clinical practice by physicians in TCM internal medicine, neurology, and other related departments, and it will be revised according to clinical practice and advances in evidence-based medicine. The guidelinedoes not function as a medical code of conduct or a legal basis. Clinical practice based on this guideline may have different benefits for different patients and may produce different clinical outcomes.guidelines-registry.org/), with registration number IPGRP-2021CN156.The guideline proposals were registered on the practice guideline registration for transparency (PREPARE) , guideline secretary group, and guideline review group. The working group members are multidisciplinary experts, not only involving clinicians and methodologists but also due consideration on the values and wishes of potential conflicting parties and patients.The guideline steering committee comprises 10 to 15 experts. It has two chairpersons: professional and methodological chairpersons. All experts signed a conflict of interest statement, and at least one of the chairpersons did not have a conflict of interest related to this guideline. The main responsibilities of the guideline steering committee are as follows: (1) determine the topic and scope of the guideline; (2) approve the guideline proposals; (3) manage its conflict of interest statement; (4) oversee the guideline development process; (5) approve the guideline recommendation; and (6) approve the guideline publication.Guideline development groupThe GDG is composed of multidisciplinary clinical experts and methodologists. The main responsibilities of the GDG are as follows: (1) identify population, intervention, comparative measures, and outcome indicators and determine the scope of the guideline; (2) draft the guideline proposal; (3) collect and select clinical questions and outcome indicators, and construct clinical questions according to patient/population problem, intervention, comparison or control, and outcome (PICO) principles; (4) assess the importance of clinical questions and outcome indicators; (5) develop systematic reviews, evidence grading, and decision tables; (6) investigate patients\u2019 wishes; (7) determine quality grading of evidence and reach consensus on recommendations; (8) write the full text of the guideline, complete the coordination of the external review of the guideline, and handle the external review comments; (9) document the whole process of guideline development; and (10) manage matters related to guideline development.The external review group contains relevant experts and stakeholders, and its main task is to review the developed guideline recommendations.A conflict of interest statement form was made. All members of the guideline steering committee and guideline development group are required to fill in the form and agree to present the conflict of interest statement and the results of its handling as an annex to the guideline. For those who have a conflict of interest, the guideline steering committee decides whether or to what extent they would participate in the development of the guideline after discussion; those who do not have a conflict of interest could participate in the whole process.The purpose of this guideline is to recommend TCM treatment for acute primary headache, to guide clinicians and nursing staff to standardize the use of TCM for the treatment of acute primary headache with the main purpose of pain relief, and to improve the management of patients with headache, clinical efficacy, and the quality of life of patients. Users of the guideline include physicians and nursing staff of TCM internal medicine, neurology, and other related departments. The target population of the guideline is patients who were diagnosed with acute primary headache. which includes a class of diseases with headache as the main clinical feature caused by external factors and internal injury resulting in constriction or loss of nourishment of the veins and channels or by unfavorable clearing of the orifices. Western medicine diagnosis is based on the International Classification of Headache, Third Edition. Primary headache includes migraine, tension-type headache, trigeminal autonomic headache, and other primary headaches. This guideline does not cover secondary headaches, painful cranial neuropathy, other facial pain, or other types of headaches. This guideline applies to the pharmacological treatment of ongoing headaches and does not apply to the prevention of headaches during remission in patients with headache. Interventions include oral and topical TCM treatments.The clinical questions covered in this guideline relate to the TCM treatment of acute primary headache. The diagnosis of headache is based on the diagnostic criteria of headache disease in the Development of Internal Medicine of Traditional Chinese Medicine, The selection of clinical problems will be completed through multiple rounds of questionnaires.The working group investigates the importance of the collected and summarized PICO clinical questions and outcome indicators after reviewing relevant guidelines and surveying clinicians, multidisciplinary experts, and patients. The survey respondents are multidisciplinary experts and patients/guardians who rate the importance of clinical questions and outcome indicators. The importance of the outcome indicator is assessed through the method recommended by the GRADE working group. and a retrieval report will be produced. The National Library of Medicine (PubMed), the Cochrane Library, and the Cochrane CENTRAL database , Guideline International Network (GIN), National Guideline Clearinghouse (NGC), National Institute for Health and Clinical Excellence (NICE), Scottish Intercollegiate Guide Network , World Health Organization (WHO) database, Wanfang, China National Knowledge Infrastructure (CNKI), China Biomedical Literature Database (SinoMed), and Chinese Sci-tech Journal Database (VIP), Baidu Xueshu (https://xueshu.baidu.com/), Yimaitong (https://www.medlive.cn/), and Zhonghua Yidian (TCM Dictionary) version 5.0 will be searched. Specific retrieval strategies are developed based on the characteristics of different databases using a combination of subject terms and free words. The development of retrieval strategies and the literature retrieval are conducted under the guidance of a literature retrieval specialist. No language limitation is applied. In addition, references from included studies are traced to gain access to relevant literature. Information such as relevant retrieval strategies and results are reported in a formal guideline document.In this guideline, published relevant guidelines, systematic reviews, and related literature published domestically and internationally in the past 3 years are retrieved based on the questions covered. Evidence evaluation will be performed based on the results of systematic reviews if the evidence in existing guidelines is not sufficient to answer the clinical questions posed in this guideline; relevant literature will be retrieved by the guideline development group to produce systematic reviews if high-quality systematic reviews in the past 3 years are not retrieved. Evidence from ancient sources lacking clinical studies is retrieved by an antiquarian literature agency based on the Classification Standard of Evidence in Ancient Books of TCM, The evidence quality will be categorized as \u201chigh\u201d, \u201cmoderate\u201d, \u201clow\u201d, or \u201cvery low\u201d. The evaluation process is completed independently by at least three people, and the coefficient of internal consistency among the evaluation team members is calculated. The methodological quality of the included systematic reviews re-review, systematic reviews, meta-analyses, and network meta-analyses were evaluated using the AMSTAR scale. The evaluation of the ancient evidence is completed by the guideline development group according to the TCM ancient evidence standards. The evaluation process is completed independently by two members, and if there is disagreement, it is discussed together, or a third party is consulted to resolve it. If no systematic reviews related to the clinical questions is retrieved, GDG will make a new round of systematic reviews to answer the clinical questions.The methodological quality of the included guidelines is evaluated using the GRADE approach.The guideline development group develops a \u201cProblem-Recommendations-Evidence\u201d decision form, sets the expert opinions as \u201cAgree, Disagree, and Uncertain,\u201d and submits it to the expert steering committee. The expert steering committee will reach consensus on the recommendations by telephone, email, or face-to-face method.The guideline recommendations will be submitted to the external review team for feedback, and the feedback will be reviewed by the guideline steering committee to determine and publish the final version of the recommendations of the guideline.After the guideline is reviewed and revised by the expert steering committee based on the external review, the full text of the guideline will be published in relevant journals, popular science journals, and other relevant mass media. Dissemination will be performed by holding relevant conferences and training courses.The guideline is planned to be updated every 5 years.The development group of TCM Guidelines for Acute Primary Headache will raise clinical questions through the real needs of clinicians in the practice of TCM for acute primary headache. The group raises clinical questions, performs evidence retrieval, quality evaluation, and recommendations, and formulates high-quality and practical clinical practice guidelines, considering the opinions of relevant experts, the wishes of patients with headache, and economic factors, to guide the clinical TCM treatment of acute primary headache and improve clinical outcomes of patients."}
+{"text": "Dear Editor,3, but without treatment for hepatitis C. He complained of cutaneous lesions with two years of evolution, and significant worsening in the last months, with local pruritus. On examination, erythematous, infiltrated papules and plaques were observed in the gluteal region bilaterally, as well as in the left abdominal, cervical and upper dorsal regions , non-reactive rheumatoid factor, proteinogram with no monoclonal peaks. A skin biopsy was performed, which showed abundant mucin deposits in the upper and middle dermis and hepatitis C virus (HCV) infection three years before. He was undergoing regular treatment with antiretroviral therapy , and had an undetectable viral load, with a CD4 cell count of 534 cells/mm regions . He undee dermis .Figure 1a)Lichen amyloidosus;b)Lichen myxedematosus;c)Eruptive collagenoma;d)Granuloma annulare.The diagnosis of lichen myxedematosus was confirmed through clinical-pathological correlation. The patient was instructed to maintain antiretroviral therapy and to start treatment for hepatitis C.Lichen myxedematous (LM) is a rare, chronic subtype of mucinosis that clinically manifests as papules, nodules, or plaques restricted to the skin. It is characterized by fibroblast proliferation, with varying degrees of fibrosis, and mucin deposition in the dermis, in the absence of thyroid disease.7The current classification of mucinoses was proposed by Rongioletti et al. and divides the papular mucinoses into scleromyxedema, a variant with systemic involvement and associated with paraproteinemia, and localized papular LM. Localized LM is divided into 5 subtypes: discrete papular mucinosis, persistent acral papular mucinosis, self-healing cutaneous mucinosis, juvenile papular mucinosis, and nodular papular mucinosis.Diagnostic criteria include papular rash, mucin deposition, and variable degree of fibroblast proliferation on histopathological examination, as well as the absence of gammopathy, thyroid disease, or systemic involvement.There are no well-defined treatments reported in the literature, and the recommended approach is clinical observation alone.None declared.Nathalia Hoffmann Guarda: Design and planning of the study; drafting and editing of the manuscript; collection, analysis, and interpretation of data; effective participation in research orientation; intellectual participation in the propaedeutic and/or therapeutic conduct of the studied cases; critical review of the literature; critical review of the manuscript.Renan Rangel Bonamigo: Approval of the final version of the manuscript; design and planning of the study; effective participation in research orientation; intellectual participation in the propaedeutic and/or therapeutic conduct of the studied cases; critical review of the literature; critical review of the manuscript.Renata Heck: Approval of the final version of the manuscript; design and planning of the study; effective participation in research orientation; intellectual participation in the propaedeutic and/or therapeutic conduct of the studied cases; critical review of the literature; critical review of the manuscript.None declared."}
+{"text": "Activation of regeneration upon tissue damages requires the activation of many developmental genes responsible for cell proliferation, migration, differentiation, and tissue patterning. Ample evidence revealed that the regulation of chromatin organization functions as a crucial mechanism for establishing and maintaining cellular identity through precise control of gene transcription. The alteration of chromatin organization can lead to changes in chromatin accessibility and/or enhancer-promoter interactions. Like embryogenesis, each stage of tissue regeneration is accompanied by dynamic changes of chromatin organization in regeneration-responsive cells. In the past decade, many studies have been conducted to investigate the contribution of chromatin organization during regeneration in various tissues, organs, and organisms. A collection of chromatin regulators were demonstrated to play critical roles in regeneration. In this review, we will summarize the progress in the understanding of chromatin organization during regeneration in different research organisms and discuss potential common mechanisms responsible for the activation of regeneration response program. Particularly, the combination of single-cell chromatin profiling techniques ("}
+{"text": "The advent of machine learning and its subsequent integration into small interfering RNA (siRNA) research heralds a new epoch in the field of RNA interference (RNAi). This review emphasizes the urgency and relevance of assimilating the plethora of contributions and advancements in this domain, particularly focusing on the period of 2019\u20132023. Given the rapid progression of deep learning technologies, our synthesis of recent research is paramount to staying apprised of the state-of-the-art methods being utilized. It not only offers a comprehensive insight into the confluence of machine learning and siRNA but also serves as a beacon, guiding future explorations in this intersectional research field. Our rigorous examination of studies promises a discerning perspective on the contemporary landscape of machine learning applications in siRNA design and function. This review is an effort to foster further discourse and propel academic inquiry in this multifaceted domain. Enveloped within the expansive discipline of RNA interference (RNAi) , the intMachine learning employs algorithms that improve automatically through experience . It is eIt is this synthesis of machine learning and siRNA, an emergent and vital topic, that captures our academic interest. As the landscape of machine learning continues to diversify and mature, and siRNA\u2019s influence in genetic research and therapeutic innovation becomes more profound, our review serves as a catalyst for fostering academic dialogue and nurturing exploratory research. Herein, we have carefully investigated studies published between 2019 and 2023 through Web of Science (WoS) using keywords of machine learning and siRNAs. The utilization of the WoS platform stems from its comprehensive incorporation of solely peer-reviewed journal articles of high quality. The specific timeframe of 2019\u20132023 was chosen not solely based on the quantity of research produced, but also due to the significant advancements in machine learning techniques, particularly deep learning methodologies, during this period.This academic landscape is mirrored by a discernible gap in research studies focusing on machine learning applications for siRNAs, as shown in In the course of our comprehensive review of recent developments in the application of machine learning for siRNAs, it is observed that an intriguing distribution of machine learning models were implemented in the examined studies. The predominant model of choice was the Neural Network (NN), utilized in a total of 10 studies, illustrating a preference for its ability to model complex non-linear relationships and its inherent aptitude for handling high-dimensional data typical in siRNA research. The Support Vector Machine (SVM) model was adopted in five studies, reflecting its well-regarded robustness and efficacy in dealing with both linear and non-linear classification problems. Meanwhile, the Random Forest (RF) model was employed in three studies, underscoring its suitability for managing multi-dimensional datasets with its ensemble-based approach and inherent feature selection mechanism. Lastly, the Partial Least Squares (PLS) model was applied in two studies, illustrating its utilization in situations where predictors are highly correlated, a common occurrence in biological data. The majority of studies employed correlation and least squares as performance metrics in their analyses. Notably, some studies deployed multiple models, acknowledging the unique strengths of each model and adopting a more holistic, hybrid approach to tackle the multifaceted complexities inherent in siRNA design and analysis.Machine learning has emerged as a crucial tool in the field of siRNA research, facilitating nuanced investigations into the complex dynamics of siRNA. Two particularly salient areas of exploration are the prediction of siRNA efficacy and the elucidation of off-target effects. A comparative analysis of the studies by in silico prediction of siRNA ionizable-lipid nanoparticles\u2019 in vivo efficacy. The authors adopted an array of machine learning techniques, including Artificial Neural Networks (ANNs) and SVM, for Quantitative Structure-Activity Relationship (QSAR) modeling, signifying a broader perspective of machine learning implementation. Notably, their model successfully predicted the siRNA dose, with ANNs delivering the most robust performance.On the other hand, Exploring off-target effects and RNA production regulation, in vivo efficacy of siRNA nanoparticles. Further, machine learning proved to be instrumental in understanding off-target effects and RNA production regulation, demonstrating the versatility and potential of these techniques in decoding the complexities of siRNA.Both the methodological approaches, i.e., GNN and ANNs/SVM, show significant potential in siRNA research, albeit in different contexts. While GNN exhibited a superior ability in siRNA-mRNA interaction analysis, the versatility of ANNs/SVM was beneficial in predicting The integration of high-throughput screening in siRNA studies has ushered in a new era of comprehensive insights into cellular behavior and mechanisms under the influence of genetic modification. These following articles underscore this trend, showcasing how machine learning techniques are employed to delve deeper into proteome regulation, cellular delivery, and phenotype expression.On the other hand, Two recent studies provided insights into the usage of machine learning for precision delivery and phenotype assessment in siRNA studies, respectively. These studies underscore the significant potential of machine learning, from neural networks to principal component analysis, in advancing siRNA research. Whether it is the identification of new cellular pathways, the precise delivery of functional molecules, or the high-throughput screening of phenotypes, machine learning methodologies emerge as vital tools, showcasing the increasing intersection between computational and biological sciences.Biomedical research has witnessed the transformative potential of machine learning, catalyzing breakthroughs in disease diagnosis and prognosis. Two notable applications of these technologies involve the identification of prognostically significant genes in cancer and the discovery of diagnostic gene biomarkers. In these contexts, the incorporation of deep learning methods has yielded significant insights.The study by in vitro. This study is a compelling example of how machine learning can drive novel insights in diagnostic biomarker discovery and influence therapeutic strategies.On the other hand, Both studies demonstrate the profound potential of machine learning in the exploration of disease genetics, either in a prognostic or diagnostic capacity. However, the approaches vary in their specificity. The approach by 2, encapsulating both curcumin and Bcl2 siRNA. The promising results obtained underscore the potential of deep learning models in predicting siRNA delivery and release patterns, thus potentially revolutionizing the design of more effective siRNA delivery systems.The convergence of deep learning and machine learning techniques is propelling siRNA research, particularly in designing efficient delivery systems and accelerating the drug discovery process. As exemplified in the study by On the other hand, The rise of machine learning techniques has brought about a significant paradigm shift in siRNA research. Recent investigations have successfully harnessed both traditional machine learning and deep learning approaches to address challenges and answer pivotal questions in the field. This subsection provides the recent trend of emerging machine learning methodologies in siRNA studies, focusing on their unique applications, effectiveness, and particular roles in advancing siRNA research.In relation to nanopore technology, Penguin and SequMeanwhile, In conclusion, the application of machine learning, from traditional algorithms to deep learning methods, is proving vital in various aspects of siRNA research, including structural profiling, prediction of vsiRNAs, cellular uptake prediction, and identification of mRNA cleavage sites. Although the methods and applications vary, the overall advancement in the field signifies the transformative potential of machine learning in this area. The comparison further highlights the benefits of non-linear and deep learning models over traditional linear models in terms of predictive accuracy and versatility, leading to valuable discoveries in the field of siRNA research.The confluence of machine learning and siRNA research has already brought to light numerous applications and technological advancements. From predicting siRNA efficacy and off-target effects, to uncovering cellular processes involving siRNA and elucidating the role of siRNA in diseases, the combination of these fields has opened up new avenues for scientific exploration and innovation. However, similar to all emerging fields, it comes with its own set of unique challenges and limitations.The application of machine learning techniques in siRNA research is hampered by the lack of expansive, high-fidelity datasets. This is a common problem in many machine learning applications, but it is particularly pronounced in the field of biological research, where experimental data can be costly and time-consuming to generate. However, as techniques such as high-throughput screening continue to advance, the availability of high-quality datasets for siRNA research is expected to increase. Moreover, strategies such as transfer learning and data augmentation could be leveraged to overcome the scarcity of data and enhance the learning capacity of machine learning models. As an alternative approach, the high-content screening techniques proposed by Another significant challenge is the inherent complexity of biological systems. The multitude of interacting factors and the non-linear nature of biological processes pose significant difficulties for the construction and optimization of machine learning models. However, novel machine learning methods, such as GNN and deep learning , have deFinally, the lack of interpretable machine learning models in this field is a crucial area that needs to be addressed . DespiteWhile challenges and obstacles lie ahead, the potential rewards of integrating machine learning and siRNA research are vast. It is our hope that this review will provide a useful roadmap for future researchers navigating this exciting and rapidly evolving field.In conclusion, the fusion of machine learning and siRNA marks a promising Frontier in the realm of RNA interference. Although faced with challenges, such as the need for large, high-quality datasets and the intricate nature of biological systems, the continued development of advanced machine learning models and feature engineering techniques offers an optimistic outlook on the field\u2019s future.The rapidly evolving landscape of machine learning necessitates frequent and thorough investigation of recent studies, particularly when coupled with the emergent field of siRNA. This review has thus aimed to provide a comprehensive, timely exploration of these two intertwined fields, bridging the gap between computational advancements and biological complexities. It is our fervent hope that this work will serve as a foundation for future explorations and will inspire novel, cross-disciplinary endeavors."}
+{"text": "Value in Healthcare, defined as the relationship between outcomes and costs , includiThe objective of this Research Topic was to contribute to the existing body of knowledge with a clear picture of the current scenario of the Value-Based approach in oncologic clinical practice to deliver sound experience on its impact, potential benefits, challenges to address, and future research needs.A total of 21 manuscripts were submitted, eleven of which were accepted.Most of the contributions aimed at evaluating the economic efficacy or the financial impact of single/combined treatments of cancer diseases with a particular public health burden.Bigi et al.); they analyzed a new tool to combine reported quality experiences and patient-reported outcomes .In other cases, authors shared the results of their research on the impacts of the application of effective models of value-based care ; a Value-Based approach to untangle the full benefit of HPV-related cancers elimination strategies and identify priority and best practices have been reported, respectively.Also, organizational and financing implications from reshaping the delivery of healthcare services according to a Value-Based care approach have been published. For example, studies on the experience of involving patients and professionals in a co-constructed therapeutic pathway , thus various conceptual frameworks have been proposed , and we tried to orient publishing according to validity, rigor, and relevance .We also tried to challenge the public health research community to address future research needs, such as refinement of performance indicators to include patients' perspective (PROMS/PREMS); implementation of shared decision-making as routine in clinical practice; reshaping of logistics and operations to respect the values of \u201cgreen\u201d care delivery; digital support for the implementation of Value-Based approaches; reshaping of reimbursement systems to bundled payments based on clinical outcomes.Indeed, we received a few feedbacks on some of these items.Value-based healthcare in oncology to improve the quality of care on an individual level and consider patients' concerns and needs; reduce unwarranted duplications and wastes in care provision via more regular or systematic assessment of the effectiveness of care and monitoring of disease progression; increase patient information, communication, and shared medical decision-making, thus paving the way for precision and personalized medicine.Thus, from a public health perspective and by considering the great expansion of the research community, particularly from emerging countries and low-income countries, it will be crucial for healthcare organizations to use AB: Writing\u2014original draft, Writing\u2014review and editing."}
+{"text": "The biomedical application of optical spectroscopy and imaging is currently an active, developing area of research, supported by recent technical progress in the development of light sources and detectors. Furthermore, the development of portable and low-cost optical imaging systems shows strong potential for the implementation of these technologies in everyday life and the daily practice of clinicians. In recent years, many studies have demonstrated that the use of modern optical imaging methods in conjunction with a priori data, as well as advanced data mining approaches, can significantly improve the quality of the medical diagnostic services provided ,2.The probing radiation of optical diagnostic methods is scattered due to random spatial variations in tissue morphology. Detection of diffuse reflected or transmitted light can provide information on the scattering and absorbing components of biological tissue. Changes in tissue morphology, including hyperplasia, collagen degradation in the extracellular matrix, and an increase in the nuclear\u2013cytoplasmic ratio associated with the progression of various diseases, can affect the scattering signals. In addition, changes in hemoglobin-absorbing properties can assist with angiogenesis processes, the presence of tissue hypoxia and ischemia, etc. At the same time, incident radiation can excite biological tissue molecules, causing fluorescent radiation. Most endogenous fluorophores are associated with the morphology of the tissue or with various metabolic processes responsible for the functional state of the tissue. Mitochondrial function is an important parameter of tissue viability. According to indicators of respiratory chain activity, it is possible to predict cell death, diagnose tissue ischemia, or, on the contrary, talk about its malignant activity. Additionally, the dynamic change of scattering centers of biological tissues probed by laser radiation leads to the formation of speckle fields, the study of which makes it possible to obtain perfusion (blood flow) maps in various anatomical areas. Thus, biophotonic methods can provide unique opportunities for structural and functional analysis of biological tissues, as well as for early and non-invasive diagnosis and monitoring of the effectiveness of therapy in various diseases .Biophotonics has broad prospects for development, since relatively cheap optical technologies allow images to be obtained and human tissues and organs to be influenced in real time with micron resolution and without the use of ionizing radiation. These technologies have found numerous applications in scientific research and clinical practice: dynamic light scattering methods . The speJ. Sachs et al. evaluated the possible impact of dual-energy computed tomography (DECT) on cataract formation . The aut2) as a reference standard. The high correlation coefficients were shown between the measurements of the perfusion parameters using IOFF and TcPO2. This study demonstrates that the IOFF method allows the identification of patients with a critical decrease in TcPO2 < 20 mmHg with sensitivity and specificity of 85.7% and 90.0%, respectively.P. Glazkova et al. studied the possibilities of incoherent optical fluctuation flowmetry (IOFF) to analyze the perfusion of foot tissues in patients with diabetes mellitus . PerfusiThe work of E. Zharkikh et al. focuses on studying microcirculation features in patients who underwent COVID-19 using novel wearable laser Doppler flowmetry (LDF) devices . In patiIn a study by E. Cinotti et al., the use of line-field confocal optical coherence tomography (LC-OCT) for the diagnosis of skin cancer was demonstrated . LC-OCT in vivo experiments in human skin. The new method showed high stability to instrumental disturbances introduced into the source and detection channels, while the traditional single-slope approach demonstrated stability only to perturbations in the source channels.Two studies were devoted to the use of diffuse reflectance spectroscopy (DRS). V. Perekatova et al. reported on the comparative study of self-calibrating and single-slope DRS in terms of stability against various measurement disturbances . The autIn another study A. SelifFinally, I. Zlotnikov et al. demonstrated the use of confocal laser scanning microscopy (CLSM) and Fourier-transform infrared spectroscopy (FTIR) to study the interactions of antibacterial drugs with bacterial cells . More spThus, this Special Issue contains new developments and advanced ideas pertaining to optical spectroscopy and imaging for active translation to biological and clinical practice. The published manuscripts provide new insight into state-of-the-art modern methods of biomedical optics and expand readers\u2019 knowledge of the possible areas of their application.The peculiarity of biophotonics is that it combines physics, biology and medicine. The interdisciplinarity of biophotonics allows scientists from different fields to unite and collaborate to solve complex problems. Biophotonics and related fields are continuously developing and will undoubtedly become the main avenue for the development of biomedical engineering in the coming decades."}
+{"text": "Broadly speaking, forensic psychiatry is the scientific study of the relationship between mental disorders and criminal behavior in a forensic context, and the application of psychiatric knowledge to crime, criminal and civil law, and the impact of law on human behavior. Psycho-criminology (or simply as psycho-criminology) is generally concerned with the use of psychological knowledge and skills in explaining, describing, and potentially preventing deviant, delinquent, and offending behavior \u20136. More The emphasis of this Research Topic (RT) focuses on the application of psycho-criminological approaches and constructs to criminal behavior and mental health in forensic settings. There are six articles included in this RT, which explored various features of crime and delinquent/criminal behavior through the application of psychological and criminological concepts and theories. Contributions to this RT are geographically diverse, with topics covering Africa (Nigeria), Asia (Hong Kong and mainland China), Europe (the UK), and the Middle East (Iran). More importantly, the collection of these articles addresses varied features of deviant and criminal behavior , delinquency and crime , and in the forensic settings .Shek et al.. This article examines the relationship between family functioning and adolescent delinquency, and the mediating role of positive youth development (PYD) attributes on this relationship. Analyzing a two-wave short-term longitudinal data (6 months apart) collected from 4,922 mainland Chinese adolescents, findings are that family functioning at the initial period (Wave 1) were negatively associated with the level of and change in delinquent behavior at the subsequent period (Wave 2), and PYD attributes (Wave 2) are found to mediate this relationship. Also, the general strain theory was tested by Wang et al. by surveying 687 mainland Chinese inmates recruited from 60 prisons, who were former public officials convicted of corrupt behaviors. They aim to explore the potential mediating effect of strain on the public officials' corrupt behaviors. Their findings indicate that clerks (a higher rank) and non-clerks (a lower rank) tended to have different experiences of status-related strain and personal financial strain, but it is the work-related strain that significantly distinguishes them. Compared to non-clerks, the work-related strain has more significant impact on clerks.The first article in this RT is an empirical study of family functioning and adolescent delinquency in a large sample of mainland Chinese adolescents by Chan recruited a nonclinical sample of 863 young people aged 17\u201320 years to examine the psychosocial risk factors of low self-control, risky sexual behavior (RSB), and paraphilic interests. Men are found to have significantly higher levels of threat of sexual assault and of general as well as of 12 subtypes of paraphilic interests than women, while women have a higher level of paraphilic interest on transvestic fetishism than men. Low self-control and more RSB and paraphilic interests are generally significant predictors of sexual assault threat issuance and perpetration of both penetrative and nonpenetrative sexual assault. Next, Ghazanfari et al. recruited a randomly selected sample of 259 male prisoners in Iran to examine their psychological wellbeing, family cohesion, and purposeful life. They found that the inmates' psychological wellbeing is significantly positively associated with their family cohesion, but both psychological wellbeing and family cohesion are not significantly correlated with their sense of a purposeful life.Examining the dynamics of sexual offending among youth in Hong Kong, Lilley et al. sampled a group of 108 jury-eligible university students to partake in one of nine identical 12-person mock trial simulations depicting a videotaped stage-setting of an intimate partner rape trial. Investigating the role of jurors' traits of psychopathology, crime-specific attitudes, sexual victimization experience, and demographic characteristics, the authors found that rape myth beliefs and juror ethnicity are positively associated with verdict decisions both pre- and post-deliberation. Besides, a diminished affective responsiveness (empathy) and experience of sexual victimization significantly predicted guilty verdict selections by the participants in the post-trial deliberation. Similarly, from a legal perspective, Ogunwale et al. critically examined the insanity plea in the Nigerian legal system. Adopting reform-oriented and fundamental legal research and psycho-legal formulated illustrative cases, the authors contend that there is a misalignment between the subjective experience of the mentally ill defendant and the objective judicial unawareness of the defendant's psychiatric conditions in some cases in Nigeria. As a result, a potential miscarriage of justice can occur. Hence, the authors argue for a reform based on current multidisciplinary knowledge whereby mental health professionals should be involved in all insanity plea cases.In the UK, Based on studies conducted in different countries, this RT collectively demonstrate the significance of applying psycho-criminological knowledge to advance our understanding of the fundamental mechanisms related to offending behavior in the intersections of mental health and the law, especially in the forensic setting. In this emerging subdiscipline of psycho-criminology, it is utterly imperative to continue moving forward with more international research to advance our knowledge and contribute to the repertoire of literature, which can have implications for research, practice, and policy development or refinement. Importantly, given the geographically diversified studies in this RT, it is noteworthy to acknowledge the importance of cultural influences wherein culturally adapted psychiatric and psychological interventions should not be neglected .The author confirms being the sole contributor of this work and has approved it for publication."}
+{"text": "Mouse models have improved our understanding of mammary gland growth and development under the control of endocrine signals.Micro RNAs (miRNAs) can influence the effects of hormone axes and protein families in the mammary gland.Due to the presence of miRNAs in exosomal vesicles, miRNAs can be exported from the mammary gland to peripheral and central tissues of the animal or to suckling offspring.It is necessary to identify the biological effects of milk miRNAs in the offspring but also in human consumers of dairy products, the latter can be considered a critical issue of food safety.The insulin-like growth factor (IGF) system represents an important effector of mammary gland growth and development. Notably, in the mouse mammary gland, the IGF system integrates signals from growth hormone (GH) and prolactin. Within the cell, the IGF system impacts the pathway activating protein kinase B (AKT) and mammalian/mechanistic target of rapamycin (mTOR), which also mediates metabolic signals . AccordiIn the absence of the GH/IGF system, virtually no postnatal growth is observed in vertebrates. Accordingly, this system represents the most important endocrine system for controlling somatic growth. Under the control of GH and IGF, both cell size and cell number can be increased, thus defining the central parameters of tissue size. GH is produced in the pituitary gland and has direct effects on its target cells or tissues. In addition, GH can induce gene expression of IGF1 and thus impact growth by IGF-dependent mechanisms. Furthermore, tissue specificity is due to differential expression of IGFBPs, IGFBP-proteases, inhibitors of IGFBP-proteases, and calcium, as we rule out further down. In mice, IGFs, IGFBPs, and IGF1R are expressed in the virgin and the developing mammary gland, and cell-specific expression patterns have been described for IGFBPs . The perThe origins of life can be attributed to the inherent feature of RNA molecules to form comparably stable RNA/RNA structures . AccordiRNAhybrid (https://bibiserv.cebitec.uni-bielefeld.de/rnahybrid/), interactions of miRNAs also with exonic mRNA can be postulated, which is provided as an example for different IGFBP4 RNA transcripts (https://www.ensembl.org/). Except for IGFBP1 and IGFBPL1, the members of the expanded IGF system are putative targets of several miRNAs, and several miRNAs regulate multiple members of the expanded IGF system. The greatest degree of interaction between miRNAs, published by Wang et al. (Intricate interactions of both systems during mammary gland development in mice can be deduced from the study of Wang et al. , demonstnscripts extracteg et al. , and theg et al. . Notablyg et al. .In contrast to classical hormones, the specificity of miRNAs is expressed on a much lower level since miRNAs can have thousands of putative gene targets . The lacIn the signature of 11 miRNAs regulated during mammary development in mice , mmu-miRA direct link from miRNA to mTOR signaling has also been established for two additional members of the miRNA signature provided in Finally, the effects of regulated miRNAs on the IGF system might not only affect the development and function of the mammary gland in female mice but also have implications for distant tissues . Indeed,A crucially missing piece of the puzzle of IGF-dependent control of mammary growth and development was provided by the integration of the metzincin family members PAPPA1 and 2 into the current concept of an expanded IGF system. It is thus possible to describe the interactions of IGFs and IGFBPs and longitudinal control of IGF-related activity by PAPPAs and STCs during growth and involution of the mammary gland in mice. Since metzincins can bind zinc and calcium , we need"}
+{"text": "The Fort McMurray wildfire (2016) was one of the most expensive and devastating natural disasters that ever happened in the history of Canada. According to the Insurance Bureau of Canada (2016), the cost of this disaster was estimated at USD 3.6 billion in insured losses. Despite the fundamental role of resilience in the daily functioning of individuals in the form of a protective shield that ameliorates the devastating impact of disasters on their mental well-being, to date, the long-term impact of wildfires on resilience and its associated predictors of low resilience has not been well studied and evaluated.The study aimed to enhance the understanding of the psychological impact of wildfires through the evaluation of the prevalence and predictors of resilience among the affected residents of Fort McMurray five years after the devastating wildfires.This study applied a cross-sectional survey design which was used to gather quantitative data through an online-based self-administered questionnaire. The surveys included standardized rating scales for resilience (BRS), depression (PHQ-9), anxiety disorder (GAD-7), and post-traumatic stress disorder (PTSD) (PCL-C) was used to measure the prevalence of resilience and its demographic, clinical, as well as wildfire-related predictors. The data collection spanned between April and June of 2021. Data were analyzed using the Statistical Package for Social Sciences (SPSS) version 25 and univariate analysis with done using a chi-squared test and binary logistic regression analysis.A total of 249 residents accessed the online survey and 186 completed the survey. Therefore, there was a response rate of 74.7%. Most of the respondents were females , above 40 years of age , employed , and in a relationship . The study identified two variables, thus having PTSD symptoms , and the age of respondents significantly predicted low resilience in our sample. The prevalence of low resilience in our sample was found to be about 37.4%.The study finding demonstrated that age and the presence of PTSD were the independent significant risk factors associated with low resilience in the affected population of Fort McMurray five years after the devastating wildfire disaster. This result further provides new information about the association between resilience, demographic, and clinical characteristics while adding to the rising body of evidence on the benefits of resilience in individuals during and after disasters. However, further research is needed to enhance understanding of the pathways toNone Declared"}
+{"text": "Cardiac involvement results in an infiltrative cardiomyopathy that leads to progressive heart failure and carries a high rate of morbidity and mortality , 2. The The prevalence of ATTR-CA in the Middle East, and particularly in the largest country that is Saudi Arabia is significantly underrepresented in the literature. What is clear is that this condition remains underdiagnosed, and the vast majority of patients go undiagnosed. Recent studies conducted in the Middle East and the Gulf region demonstrate significant shortcomings regarding the diagnostic modalities and therapeutic approaches for cardiac amyloidosis, mainly due to a lack of awareness among health care professionals , 11. SucThe objectives of this manuscript are to highlight the magnitude of the under/misdiagnosis of ATTR-CA in Saudi Arabia and neighboring Gulf countries and to explore the barriers that impede the proper diagnosis and management of ATTR-CA in the region.2.2.1.In order to highlight the magnitude of the underdiagnosis of ATTR-CA in the Middle East and Gulf region, we extrapolated the projected prevalence of ATTR-CA in Saudi Arabia. Published epidemiological studies in Saudi Arabia indicate a case burden for chronic heart failure of approximately 455,222 cases, and thus a prevalence of 1%\u20132% in the general population , 13. WitThe estimation of ATTR-CA case burden in Saudi Arabia has several shortcomings. First, our approximation does not take into account the gender preponderance of ATTR-CA among males or the influence of age as the disease increases in incidence with age, since the HEART registry did not factor in either parameter. Second, the projected estimation does not include the prevalence of ATTR-CA amongst patients with severe aortic stenosis undergoing transcatheter aortic valve replacement (TAVR). Several studies have previously highlighted an association between ATTR-CA and severe aortic stenosis in elderly patients being relatively common with an estimated prevalence of 8%\u201315% , 17. HowTo our knowledge, there are no published studies that have evaluated the incidence or prevalence of cardiac amyloidosis in Saudi Arabia. Furthermore, our search results utilizing Pubmed and Medline databases have not yielded any current population or cohort-based studies relating to ATTR-CA within the region. We hypothesize that the discrepancy in the expected prevalence of ATTR-CA when compared to the literature emerging from the region is likely due to shortcomings in the diagnosis of cardiac amyloidosis rather than lower rates of prevalence.2.2.This section addresses the possible shortcomings and barriers regarding the diagnosis of ATTR-CA and highlights the practical applications to overcome these issues within the region. ATTR-CA is a disease with a high misdiagnosis rate up to 34%\u201357% of patients . MoreoveTwo recent physician surveys have investigated the barriers to the diagnosis of cardiac amyloidosis in the Middle East , 11. FinMultidisciplinary education campaigns and meetings are essential to familiarize physicians with the clinical, biological, and imaging clues that should prompt further investigations for the disease. Additionally, subgroups of patients such as those with left ventricular hypertrophy, HFpEF, and those with low flow low gradient aortic stenosis requiring TAVR should be identified and further screened for ATTR-CA. A recent scientific statement from the American Heart Association (AHA) has identified clinical and imaging clues that should prompt further investigation(s) for CA can be uAnother significant barrier to the diagnosis of ATTR-CA lies in the utilization of appropriate investigative tools. According to guidelines published by the AHA and European Society of Cardiology (ESC), patients with suspected ATTR-CA and without monoclonal gammopathy should undergo screening by cardiac radionuclide scintigraphy imaging , 9. HoweTTR gene that requires proper investigation (TTR gene mutations causing ATTR-CA (TTR variants in the region (TTR mutations, three TTR variants known to be associated with ATTR-CA and three novel variants were identified. However, the data identified in the study requires further clinical correlation.Since the hereditary form of ATTR-CA arises from a mutation in the tigation , an addi ATTR-CA , 20. Mor ATTR-CA . The fine region . Using dTTR variants associated with hereditary ATTR-CA and to detect the individuals carrying these genetic variants who are at risk of developing the disease. Moreover, individuals with confirmed hereditary ATTR-CA should receive counseling and their family members should be offered genetic testing in line with AHA and ESC guidelines. Hence, a multidisciplinary effort is required to provide access to genetic testing sites that are equipped with appropriate resources and are adequately staffed. Additionally, this setup would allow for the conduction of further genomic studies to identify potentially pathogenic TTR variants and simultaneous clinical investigations to validate the findings from these genomic studies.Based on the above data, collaborative efforts within the region among specialists in cardiology and genetic medicine are required to identify A pertinent approach towards overcoming the underdiagnosis of ATTR-CA in the region is underpinned by the utilization of regional patient registries and the subsequent establishment of nationwide screening programs. The use of national/regional patient registries may facilitate improved awareness of disease prevalence and incidence, enhance collaborative efforts and communication amongst clinical specialists, improve knowledge and awareness of the disease, facilitate the generation of referral and screening pathways, and enhance the cost-effectiveness of managing patients with ATTR-CA . PatientThe underdiagnosis of ATTR-CA in the region has resulted in significant shortcomings in the management of the disease. Physician surveys emerging from the region highlighted deficiencies in the awareness of the management modalities for ATTR-CA . The recThe application of AHA and ESC guidelines regarding the diagnosis and management of cardiac amyloidosis in the Middle East and Gulf region is likely to lead to significant advances in understanding the epidemiology and clinical features of the disease in the region, while concomitantly improving patient outcomes. However, the application of the aforementioned guidelines may prove challenging due to potential barriers. 3.Limited data are available regarding the prevalence, incidence, and clinical features of ATTR-CA in the Middle East and Gulf region. Based on international epidemiological studies, the majority of cases of cardiac amyloidosis in this region remain undiagnosed. Physician surveys conducted in our region identified key areas for improvement, particularly relating to awareness regarding the diagnosis and treatment of ATTR-CA. Collaborative efforts are required to promote disease awareness and improve physician knowledge regarding the epidemiology, clinical features, and management of ATTR-CA. Moreover, appropriately staffed national and regional specialized referral centers equipped with the relevant diagnostic modalities ought to be established within the region. Multidisciplinary teams consisting of clinical experts from various backgrounds should collaborate to develop clinical pathways to identify and investigate patient groups with high suspicion for cardiac amyloidosis. Implementing these measures would improve the diagnosis and management of cardiac amyloidosis in the region, thereby allowing for disease detection at an earlier stage and the utilization of targeted disease-modifying therapies."}
+{"text": "Planetary health education focuses on the climate and ecological crises and their adverse health effects. Given the acceleration of these crises, nationwide integration of planetary health education into undergraduate and graduate education, postgraduate training and continuing education for all health professionals has repeatedly been called for. Since 2019, planetary health education has been promoted by several national initiatives in Germany that are summarized in this commentary:1. National Working Group Planetary Health Education,2. Manual for planetary health education,3. Catalog of National Planetary Health Learning Objectives in the National Competency-Based Catalog of Learning Objectives for Medical Education,4. Working Group Climate, Environment and Health Impact Assessment at the Institute for Medical and Pharmaceutical Examinations,5. Planetary Health Report Card, and6. PlanetMedEd study: planetary health education in medical schools in Germany.We hope these initiatives promote collaboration across institutions involved in educating and training health professionals, inter-professional cooperation as well as rapid implementation of planetary health education. Planetary health education focuses on the climate and ecological crises and their adverse health effects . Given tThe inter-professional working group, jointly hosted by the German Alliance on Climate Change and Health and Health for Future, was founded in February 2021 to provide a platform for knowledge exchange targeting all health professionals involved in planetary health education. The working group focuses on different aspects of planetary health education including presentations of innovative modular teaching materials and syllabi of elective courses as well as journal clubs covering seminal contributions to the field of planetary health education. The WeChange platform is used to network and to collect material pertinent to planetary health education.https://www.klimawandel-gesundheit.de/ag-lehre-mailingliste/]Sign up to the mailing list: [https://wechange.de/project/ag-planetary-health-lehre/]Sign up to the WeChange platform: . The latest version of the manual is available online . The catalog comprises learning objectives on clinical competencies for climate adaptation and climate-sensitive anticipatory guidance as well as skills supporting physicians in initiating and implementing change processes outside patient care that contribute to climate mitigation and sustainability. To promote the integration of planetary health education in all areas of medical education, the catalog contains cross references to the main chapters of the Competency-Based Catalog of Learning Objectives for Medical Education. The planetary health learning objectives can guide, inter alia, the development of longitudinal planetary health curricula or focus areas within medical curricula stipulated in the current version of the updated medical licensing regulations for Germany.The Catalog of National Planetary Health Learning Objectives was deveThe Institute for Medical and Pharmaceutical Examinations, developing and administering centralized state examinations for medicine, dentistry, pharmacology, and psychotherapy in Germany, founded the working group in January 2021. The inter-professional working group comprises external experts and aims at adding aspects of planetary health education to the syllabi of the state examinations.In this international initiative, medical students evaluate their medical schools based on standardized planetary health indicators covering the following areas: planetary health curriculum, interdisciplinary research, institutional support for student-led initiatives, community outreach and advocacy, and campus sustainability. https://phreportcard.org/]. While previously restricted to the USA, Canada, UK and Ireland, several medical schools in Germany have been evaluated based on the report card since 2021. The extension of the report card to curricula of other health professionals is currently prepared by the international PHRC team. The results of the assessment are published online on Earth Day every year: , , .The authors declare that they have no competing interests."}
+{"text": "Assuring the quality of medical products manufactured, imported or distributed in francophone sub-Saharan Africa remains a challenge, despite positive signals like the growing engagement in the benchmarking of regulatory authorities and -particularly- in the establishment of the African Medicines Agency. In this short report, we describe the existing activities to prevent, detect and respond to substandard and falsified products (SF) in this region, either through African multilateral organizations and initiatives led by the World Health Organization, or through the contribution of other stakeholders, such as local universities and procurement agencies. We underline that these emerging local stakeholders may play a pivotal role to guide and inform the national regulatory authorities about the prevalence and patterns of SF medical products, complementing the market surveillance and control, and building awareness of the importance of pharmaceutical quality assurance for public health. Substandard and falsified products (SF) , 2 causeAfrican Union (AU) and the World Health Organization (WHO) started in 2009 the African Medicine Regulatory Harmonization (AMRH) Initiative; and in 2021, following the Treaty ratification by 15 member states, they started the establishment of the African Medicines Agency (AMA). Second, the Economic Community of West African States (ECOWAS) endorsed the West African Health Organization (WAHO) Strategic Plan 2016\u20132020 [West African Economic and Monetary Union [Medicrime Convention[Pharmaceutical quality assurance (QA) is high on the agenda of continental organizations, with important aspirational objectives. First, the 016\u20132020 , a Techn016\u20132020 promptedry Union . Finallyonvention.Member State Mechanism was established to tackle SF medical products from a public health approach [Global Benchmarking Tool (GBT) [Global Surveillance and Monitoring System [The approach . It is gol (GBT) . Currentg System , throughg System . HoweverUniversity of Senegal Cheikh Anta Diop and the University of Douala in Cameroon are among the first implementers of a curriculum guide on SF medical products, developed by WHO, International Pharmaceutical Federation, and others, targeting undergraduate pharmacy students [(West) African academics can contribute to the fight against SF medical products by educating future specialists and policymakers. The students .University of Kinshasa (UniKin) in the Democratic Republic of Congo built this capability by investing in academic partnerships, particularly with the University of Li\u00e8ge, Belgium. The UniKin QC laboratory, LACOMEDA, is accredited by the Ministry of Public Health for QA and QC of Health Products. It conducts high-quality research, based on a four-phases analytical methodology: a rapid field screening; a second screening in the vicinity; full chemical analysis at central level; and standardized findings\u2019 compilation. For the screening, the program uses portable vibrational spectroscopy tools, chosen based on performance, costs and field feasibility, and suitable for post-marketing surveillance and border screening. This model, where academia builds local capacity through international networks and produces rigorous research to guide policy-makers [Universities can also play a pivotal role to understand the prevalence and patterns of SF medical products. For instance, the y-makers \u201319, coulProcurement agencies may engage in surveillance. The Ecumenical Pharmaceutical Network (EPN), an independent, non-profit, Christian organisation committed to provide quality-assured pharmaceutical services, started in 2010 the Minilab project , and thePreventing, detecting and responding to SF medical products remains a challenge in Francophone sub-Saharan Africa, despite positive signals like the growing engagement in the WHO GBT process and the construction of AMA. The NRAs already engaged in the AMA should prioritize participation in technical committees, e.g., the AMQF-TC for market surveillance and control. Academic institutions and procurement agencies can effectively support surveillance, and they should systematically share their findings with NRAs. All activities should be framed in universal health coverage, as access to essential medicines will eliminate the demand for illegal markets."}
+{"text": "Recent studies report a prevalence of comorbid anxiety disorder of 38% and 80% of sleep disorders in schizophrenia. Insomnia has been associated with worsening of psychopathological symptoms and increased hospitalization rates.The aim of our work was to review mechanisms of action and the use of benzodiazepines, GABAergic drugs and melatonin for the treatment of anxiety and insomnia in schizophrenia.We carried out a narrative review of studies focusing on the treatment of anxiety disorders and insomnia in schizophrenia through PubMed and Google Scholar (2002-September 2022). The use of benzodiazepines, GABAergic drugs and melatonin in schizophrenia are discussed, illustrating them with case reports.A total of 32 studies were included. (A)Benzodiazepines (BZD) work facilitating the inhibitory actions of gamma-aminobutyric acid (GABA) by binding GABA type A receptors. The beneficial effect of combined use of antipsychotics and BZD is controversial . (B)GABAergic drugs: gabapentin (GP) and pregabalin (PG) , have no direct GABAergic action and act inhibiting voltage-gated calcium channels. The efficacy of GP and PG in the treatment of anxiety symptoms in schizophrenia is understudied. Positive effects of GP in schizophrenia suffering from restless legs syndrome receiving clozapine. (C )Melatonin, an hormone produced in the pineal gland has been used to treat insomnia. Positive effects on metabolic syndrome and cardiovascular risk factors have been reported. Several works considered it an alternative in schizophrenia.Few evidence is available on the use of BZD, GP, and PG in schizophrenia. Melatonin is a promising compound to treat insomnia.None Declared"}
+{"text": "The process of initiating and completing clinical drug trials in hospital settings is highly complex, with numerous institutional, technical, and record-keeping barriers. In this study, we independently developed an integrated clinical trial management system (CTMS) designed to comprehensively optimize the process management of clinical trials. The CTMS includes system development methods, efficient integration with external business systems, terminology, and standardization protocols, as well as data security and privacy protection.The development process proceeded through four stages, including demand analysis and problem collection, system design, system development and testing, system trial operation, and training the whole hospital to operate the system. The integrated CTMS comprises three modules: project approval and review management, clinical trial operations management, and background management modules. These are divided into seven subsystems and 59 internal processes, realizing all the functions necessary to comprehensively perform the process management of clinical trials. Efficient data integration is realized through extract-transform-load, message queue, and remote procedure call services with external systems such as the hospital information system (HIS), laboratory information system (LIS), electronic medical record (EMR), and clinical data repository (CDR). Data security is ensured by adopting corresponding policies for data storage and data access. Privacy protection complies with laws and regulations and de-identifies sensitive patient information.The integrated CTMS was successfully developed in September 2015 and updated to version 4.2.5 in March 2021. During this period, 1388 study projects were accepted, 43,051 electronic data stored, and 12,144 subjects recruited in the First Affiliated Hospital, Zhejiang University School of Medicine.The developed integrated CTMS realizes the data management of the entire clinical trials process, providing basic conditions for the efficient, high-quality, and standardized operation of clinical trials. Clinical trials of drugs are an important stage in drug research and development and are means to improve the development of medical science and technology \u20135. StandIn recent years, owing to the increase in clinical trial projects in our hospital, professional and standardized information systems were urgently needed to assist in the management of clinical trials throughout the hospital. At present, the need for a centralized clinical trial project management platform reliant on the clinical data system of the hospital itself is intensifying. Based on the local area network (LAN) security architecture of our hospital, we have constructed a CTMS, which organically integrates the clinical trial organization management office, ethics committee, clinical trial center pharmacy, and clinical professional departments. The management system covers the entire process of clinical trials, including trial project establishment, ethical review, signing of agreements, trial implementation, trial conclusion, sponsor management, subject management, follow-up management, and centralized management of pharmacies supporting medication trials. The personnel involved include clinical departments, institutional management offices, central pharmacies, and ethics committees. With the help of the information system, a large number of personnel and complicated work processes are organically integrated to realize information sharing and collaborative work. With the help of this CTMS, the implementation of clinical trials can be standardized and the entire process can be traceable. As a site of clinical trials, hospital management involves multi-party collaboration, as well as study project management, subject management, investigational product management, quality control, financial management, and other complex business processes. Hospitals must develop dedicated systems to assist the entire process management of clinical trials to ensure their efficient and high-quality operation. The main objectives of this study are as follows. We aim (1) to develop an integrated CTMS as a dedicated database for clinical trials; (2) to achieve efficient data integration of CTMS with hospital business systems , laboratory information system (LIS), clinical data repository (CDR), picture archiving and communication systems (PACS), and electronic medical record (EMR), etc.); (3) to facilitate standardization and consistency of terminology in the development of database models and business processes; and (4) to ensure the safety and security of clinical data as well as protect patient privacy to comply with relevant regulations.The First Affiliated Hospital, Zhejiang University School of Medicine (FAHZU) has six campuses with approximately 5,000 beds. In 2020, the institution recorded over 4.2 million outpatient and emergency visits, and 236,100 discharges. As one of the pioneering and earliest-founded National Drug CTIs in China, the first batch of clinical pharmacology bases under the Ministry of Health was established in 1998. As a first-class integrated service platform for clinical research in China, it operates 24 specialized groups and depends on an internationally recognized and independent ethics examination system, and has undertaken more than 2000 items of foreign and domestic clinical trials since its establishment, including both Phase I\u2013IV drugs and medical devices.The development of an integrated CTMS began in March 2014, and after 18\u00a0months, the first version of the CTMS was launched in FAHZU in September 2015. The complete system development process was carried out in four stages, including two months of requirement analysis and problem collection, four months of system design, six months of system development and testing, and six months of system operation training and pilot runs. Based on the feedback from the use of the first version of CTMS and the continuous in-depth exploration of the business, the system\u2019s functionality and user experience continue to be iteratively updated. By March 2021, the updated version 4.2.5 was launched. Through the construction of an integrated CTMS, the entire process of clinical trial data management is realized, which provides the basic conditions for the efficient, high-quality, and standardized operation of clinical trials in the hospital.The collection and analysis of CTMS requirements defined the existing problem set to be solved. This stage is the most critical and determines the final goal direction of the system. The collection of requirements started in March 2014, and the participants included the CTI office director, CTI office secretary, ethics committee (EC) members, EC secretary, principal investigator (PI), sub-investigator, study nurse, clinical research associate (CRA), clinical research coordinator (CRC), investigational product custodians, financial officer, quality control expert, statisticians, data manager, pharmacovigilance associate, and information technology expert. After two months of formal and informal interviews, as well as an analysis of the collection requirements, the design goal of CTMS was determined. The overall goal of the CTMS is to realize the entire process of clinical trial management, including study project approval, ethical review, subject recruitment, subject management, investigational product management, financial management, and quality management. Table In the second stage, the CTMS design process included the definition of the system architecture and data interchange mechanisms, selection of storage media, database modeling and standardization, user interface (UI) and user experience (UX) design, and development of security and privacy policies based on analyzing and categorizing the requirements collected in the first phase, referring to Good Clinical Practice (GCP) and the guidance documents of the National Medical Products Administration (NMPA). The functions and data required by each participant in the clinical trial are determined. Figure\u00a0The third stage focused on the development and testing of the CTMS. This was divided into two steps according to the definition of the design stage. The first step realizes clinical trial approval and review management, and the developed subsystems include CTPMS, CTEMS, and PMMS, which focus on the process management of the study project application and review stage, and do not involve data integration with external systems. The second step realizes clinical trial operational management. The developed subsystems include CTSMS, CTIPMS, CTFMS, and CTQMS, which complete internal function development and data integration with external systems, and realize the entire process of data management. The CTMS was developed based on the distributed architecture of the Java programming language, and its database is Oracle Database 11\u00a0g Release 2 on a server running the Linux CentOS 7.6 operating system; data integration with external systems is managed through an interface services unified management platform. The system adopts browser/server architecture and supports current mainstream browsers, such as Google Chrome, Internet Explorer, and Firefox Browser for encrypted access via hypertext transfer protocol secure (HTTPS). System testing mainly includes verification of functional effectiveness, data security, system reliability, and the efficiency of data integration with external systems.This stage involved CTMS deployment and system operation training. In November 2014, CTPMS, CTEMS, and PMMS were officially launched, realizing clinical trial approval and review management in FAHZU. In March 2015, the development of CTSMS, CTMMS, CTFMS, and CTQMS was completed. Considering that the clinical trial operational management involves data integrity verification and data integration with external systems, a new pilot run phase was needed. By selecting a certain number of clinical trials in Phases I\u2013IV, the operating results were used to verify the compatibility of the system with different types of clinical trials. The CTMS pilot run system first selects Phase I clinical trials and runs a total of 20 projects. Through continuous updating of functions during operation, it can fully meet the needs of Phase I clinical trial operational management. Subsequently, it selects clinical trials in Phases II\u2013IV. A total of 10 projects have been run, and the functions have been stable and meet the requirements of various types of clinical trials. However, training hospital staff in the use of CTMS is critical. Through a variety of methods including face-to-face training and offline data learning, all staff related to clinical trials have been trained. The first version of CTMS was fully launched in FAHZU in September 2015.FAHZU is the first hospital in China to independently develop an integrated CTMS; the system has been successfully implemented in the hospital since September 2015. As of March 2021, the hospital now runs an updated version of CTMS known as V4.2.5. The data management of the entire process of clinical trials from project approval and review management to operational management has been fully realized. The FAHZU CTMS operates independently by design as a fully functional system at the application level (not as a component of the HIS), establishes a dedicated clinical trial database at the data level, and completes data integration with external systems through a unified interface system, to achieve process continuity and data integrity. Through the construction of an integrated CTMS, the flow of multi-party collaboration tasks is optimized, and non-research matters such as finance and data processing are simplified, to effectively improve the efficiency and quality of clinical trials. The results shown below are based on the latest stable version of FAHZU CTMS, V4.2.5.The first level involves clinical trial project approval and review management, and its functions cover the rationality review of clinical trial study projects and related affairs management by CTI and EC. Table The second level comprises clinical trial operational management, which is a complex and continuous management process. Table The third level is backstage management, which is indispensable for the stable operation of the CTMS. Table FAHZU CTMS realizes the entire process management of clinical trials through the organic combination of project approval and reviews management, clinical trial operational management, and backstage entire process management, which is further categorized into 59 internal processes by combining user and authority management Fig.\u00a0. ClinicaTo use the CTMS as a dedicated database for clinical trials, data integration with external systems is indispensable. Figure\u00a0Data security and privacy protection ensure that a mature process is developed and maintained throughout the design life cycle. Data security primarily involves data storage and data access security. Privacy protection focuses on ensuring data security while complying with laws and regulations to de-identify sensitive patient information.Data security mainly includes the two aspects of data storage security and data access security. Interms of data storage security, FAHZU CTMS adopts two strategies: (1) multi-node storage of data to achieve high availability of data services and a data backup strategy to ensure that data will not be lost in case of failure, and (2) encrypted storage of sensitive data . Policies for data access security are (1) security at the network level, through safety equipment , to implement access control and prevent illegal access, (2) security at the application level through multiple roles of authority management system access controls on data content, especially including rules to ensure no open access to prescriptions (such as CRC non-prescription issuance authority) as well as finding and repairing the vulnerabilities of the application through penetration testing and completing the information security technology-evaluation requirement for classified protection of cybersecurity\u2014Level 3, and (3) maintaining a detailed data change log can be useful in tracing the record of the process of data recovery.Subject privacy protection aims to protect sensitive patient information through a series of de-identification processes, which are explicitly required in the GCP. The FAHZU CTMS strictly implements the requirements of subject privacy protection in the GCP guidelines and refers to the Information Security Technology Personal Information Security Specification issued by the Standardization Administration of China and the HIPAA Regulations issued by the U.S. Department of Health. Final compliance with HIPAA\u2019s Protected Health Information Disidentifiability Requirements Implementation Specifications excludes 18 personal health identifiers (PHIs) from the CTMS to comply with international and national laws. For CTMS users to identify subjects, we used the clinical trial protocol number, subject screening number, and subject name initials to uniquely identify them. At the level of data interaction, the patients\u2019 medical record numbers in the hospital are systematically encrypted and stored in the CTMS database, which is linked to the data of external business systems for automatic data transmission.The evaluation of the CTMS is ongoing and mainly conducted at two levels: clinical trial project approval and review management, and clinical trial operational management. The former focuses on the convenience of multi-party collaboration and the efficiency of project approval, whereas the latter focuses on the evaluation of subject-centered data management throughout the process and the improvement of the quality of clinical trials.The improved clinical trial project approval and review management after applying the FAHZU CTMS, compared with that before the system was implemented, mainly embodies the following advantages: (1) It realizes process automation management based on task and combined with workflow technology, cooperates with user authority management systems, realizes automatic triggering of node events, and performs automatic assignment of processing personnel and message notifications such that personnel only need to process their personal to-do lists according to the message reminder, reducing the complexity of system use under multi-party collaboration. (2) Clinical trial project approval supports remote application, electronic document management enables online submission of project approval materials as well as online review and summary of revision opinions in the review process, which reduces the workload of project approval materials review and improves the efficiency of project review. Since CTMS began to operate in the hospital in December 2014, 1,388 study projects have been accepted and 43,051 documents have been submitted through CTMS as of March 31, 2021.The focus at the clinical trial operational management level is centered on patient outcomes to achieve full-cycle data management. Here, the advantages are more significant. The core advantages are summarized as follows: (1) The CTMS requires that the research plan must be entered before the recruitment of subjects, and the visit content of the current visit cycle can be automatically correlated during the subject visit. It is transformed into to-do tasks in the current research stage, with timely reminders, reducing deviations from the protocol. (2) An independent billing model is adopted for clinical trial-related inspection and treatment expenses so that subjects can be exempted from expense reimbursement and be marked in the hospital business system to meet non-clinical trial diagnosis and treatment reminders and clinical trial inspection green special requirements such as channels. (3) The CTMS contains the data on each subject, including newly generated data during operation and data collected in the hospital business system. Through strict authority classification, the scope of the data queries, such as those issued by the CRC and other data query authorities, are limited to subjects who are responsible for the project. (4) Clinical trial drugs are label-based full-cycle closed-loop managed, and transfers are completed through label scanning, and support some special properties of clinical trial drugs, such as open, single-blind, and double-blind studies, and situations with other prescriptions, where drugs need to be random, and when the serial numbers and medicine need to be recalled.The clinical trial operational management of CTMS began a pilot run at FAHZU in March 2015. Pilot runs are conducted to validate and improve the effectiveness of system functions and compatibility with different types of clinical trials. Since September 2015, all newly initiated clinical trials on the site have been managed through CTMS. According to statistics, as of March 31, 2021, a total of 12,144 subjects have been included in the management of CTMS, across 472 study projects. Figure\u00a0Informatization is an inevitable trend in clinical trial management . At presThe protection of private information is a more important consideration than the system construction \u201312. The Compared with the traditional paper CRF, e-CRF allows researchers to enter the CRF electronically based on the source data rather than fill it in manually . HoweverIn future, we also want to utilize the data in the clinical trial management platform to realize intelligent subject recruitment and improve the efficiency of subject recruitment. Recruiting subjects for some clinical trials is difficult, especially those involving rare diseases, stringent admission criteria, and special subgroups. Owing to information asymmetry, researchers only know the condition of the patients they are treating, and patients do not know that their disease may be under research at the hospital, which can seriously affect the progress of clinical trials \u201319. To fSince the outbreak of COVID-19, many jobs around the world have been stalled to a certain extent. In the event of a major public health emergency, carrying out clinical trials and ensuring the smooth implementation of monitoring work has become a problem for clinical trial practitioners, and remote monitoring has therefore been put on the agenda. The U.S. Food and Drug Administration has long encouraged more centralized monitoring, where inspectors perform inspections in the office using relevant information tools rather than at research institutions . The development trend of clinical trial monitoring is to replace on-site monitoring with centralized monitoring . Remote Compared with other information systems, CTMSs are more professional and personalized. The realization of the effectiveness of a CTMS requires a significant amount of time, and the more clinical trials undertaken, the more significant the effect. Compared with the system design, the comprehensive and efficient application of the system takes longer to achieve. With the digitization of clinical research, the sharing and integration of research data will bring many management advantages, such as an increase in available management resources, scientific and data support for major decisions, the convenience of remote management, pertinacity, and pre-operation. The CTMS developed by our hospital will be constantly updated and upgraded, and its functions will constantly improve. The system update will keep pace with developments in international drug clinical trial management, promote the development of clinical trials in a more standardized direction, and promote the disciplinary status of the hospital regarding high-level clinical trials.The FAHZU CTMS, as the first integrated CTMS independently developed by a hospital in China, can better adapt to the institutional needs for individualized, whole-process, and dynamically comprehensive evaluation and supervision of clinical trials. The integrated CTMS contains three levels and seven subsystems, which fully realizes the whole-process data management of clinical trials from project approval and review management to operational management. Through the unified interface system, the developed CTMS provides a variety of access methods to complete efficient data integration with the clinical business systems, and applies multiple security policies combined with privacy protection methods to effectively ensure the security of data and the privacy of subjects during clinical trial operation. The operation results based on the integrated CTMS show that it can effectively control the risks in the clinical trial process, so as to improve the science, safety, and timeliness of the new drug development process."}
+{"text": "Within FAR SEAS, a multi-component evidence-based community intervention was implemented and evaluated in Mazovia (Poland), with the aim of preventing alcohol-exposed pregnancies, and therefore preventing FASD.n = 441) to groups for low- (70%), moderate- (23%), or high-risk (7%) of alcohol exposed pregnancy, to provide interventions tailored to their needs. The non-parametric sign test, testing differences between pairs of observations before and after intervention was used to evaluate the outcomes.Multi-disciplinary professionals from different services , recruited women of child-bearing age (pregnant and not pregnant) in local communities, screened them for alcohol risk, and allocated participants (Follow-up data (collected from 93% of participants) indicated positive changes in the key outcome variables: risky alcohol consumption dropped by 81%, contraception use increased by 15% and visiting a gynecologist increased by 39%; as well as in associated psychosocial risk factors . No changes were noted in frequency of other service use . The most prominent changes were observed in the moderate-risk group.Changing risky behaviors to prevent alcohol exposed pregnancies is feasible at the local level, even without engagement of medical professionals. Key challenges, related to engaging professionals and local authorities, must be addressed; and procedures should be adapted to local contexts and needs. Alcohol consumption during pregnancy may result in a series of adverse effects to the fetus including congenital anomalies and behavioral, cognitive and adaptive deficits, collectively known as Fetal Alcohol Spectrum Disorder (FASD). FASD is preventable by abstaining from drinking alcohol during pregnancy but effective prevention is complex and requires activities at various levels, targeting general population, women of childbearing age, women with alcohol problems and postpartum . For thiThe region chosen for the pilot was the Mazovian voivodeship in central Poland due to: relatively high prevalence of alcohol consumption reported by Polish pregnant women .The small number of pregnant participants in the study does not allow conclusions to be drawn on the effectiveness of the FAR SEAS approach during pregnancy specifically . However, our findings do suggest positive influences of the interventions on the participants taken as a whole, especially those who drink alcohol at risky level and/or present other psycho-social risk factors of drinking alcohol during pregnancy, and therefore at higher risk of giving birth to a child with FASD .Given the importance of being able to target the intervention to the group most in need of support, i.e., women most at high risk of alcohol exposed pregnancy, the result indicating significant reductions in risky alcohol consumption among the high-risk subgroup is very promising. It is also important that the interventions offered to this group within the FAR SEAS project had positive effects on their domestic situation (reduced violence) and mood (depressive symptoms). However, more intensive or different interventions, or the engagement of other specialists are needed to improve their reproductive health , and to reduce other psychoactive substance use in pregnancy.The improvement of some health behaviors in the low-risk group, suggests a need for basic health education for the general Polish population, especially among women in childbearing age.The applicability of the study results to different populations and contexts may be limited by the uneven spread of participants across the different geographical and urban sites. An unstable social and medical situation at the time of the study made the recruitment of local stakeholders and individual specialists very difficult. Out of the six local teams that signed up for the project, only 4 teams were active, including 2 which were active only at a minimal level. In two other locations of the project (P\u0142ock and Radom), interdisciplinary teams of specialists were established to implement all the planned activities. Both highly active teams were led by people evidently well predisposed to this role: engaged, well organized, oriented to problem-solving and communicative , 57. In One other limitation of the study, which is encountered in many alcohol prevention interventions, is the reliance on self-reported data for alcohol use, which may result in a social desirability bias . In addition, the freedom of local staff in selecting the project participants, although reflecting natural context of their work, may be considered a limitation of the study. It is possible that, consciously or subconsciously, they introduced a bias by inviting women they feel they can more easily work with, who may not be those most in need of the intervention. This indicates the need of more rigorous training and enforcement of research experiment standards in future studies.The positive results of the pilot project indicate the feasibility and validity of implementing multi-center regional FASD prevention through inter-disciplinary teams at the community level. The most prominent changes in the prevalence of risky alcohol consumption were observed in the moderate risk group indicating potentially high returns on investment of addressing FASD prevention and interventions to this group; which should not be overlooked, despite the priority of focusing on women at high risk of alcohol exposed pregnancies. The results suggest an opportunity to build on the receptivity of women in the moderate risk group to prevention and advice, and that delivering timely interventions may prevent women from developing more risky behaviors leading to alcohol exposed pregnancies. Dissemination of FASD prevention at the local level requires the involvement of local authorities and directors of key institutions and coordinated work in a multidisciplinary team, which is one of the key facilitators of good implementation and sustainability of FAS/FASD prevention.The main learning points and findings from the FAR SEAS pilot study have been fed forward into the FAR SEAS Guidance, which comprises 22 evidence-based recommendations, validated through international expert consensus, aimed at reducing alcohol consumption in women of childbearing age, particularly in pregnant women.The raw data supporting the conclusions of this article will be made available by the authors, without undue reservation.The study involving humans was approved by the Ethics Committee of State Agency for Prevention of Alcohol Related Problems (Poland). The study was conducted in accordance with the local legislation and institutional requirements. Written informed consent for participation in this study was provided by the participants\u2019 legal guardians/next of kin.KO-K, LS-G, FB, CG, and ES contributed to conception and design of the study. KO-K and MZ-S organized the database. KO-K, SG, and MZ-S performed the statistical analysis. KO-K, FB, LS-G, and CB wrote the first draft of the manuscript and sections of the manuscript. FB, SM, KO-K, and LS-G supervised the project implementation. FB and SM administered the project. FB, SM, and KO-K acquired funding for the project. All authors contributed to manuscript revision, read, and approved the submitted version."}
+{"text": "The aim of this article review is to analyze some models and clinical issues related to the implementation of accelerated diagnostic protocols based on specific cardiac biomarkers in patients admitted to the emergency department (ED) with symptoms compatible with acute cardiac disorders. Four specific clinical issues will be discussed in detail: (a) pathophysiological and clinical interpretations of circulating hs-cTnI and hs-cTnT levels; (b) the clinical relevance and estimation of the biological variation of biomarkers in patients admitted to the ED with acute and severe diseases; (c) the role and advantages of the point-of-care testing (POCT) methods for cardiac-specific biomarkers in pre-hospital and hospital clinical practice; and (d) the clinical role of specific cardiac biomarkers in patients with acute heart failure (AHF). In order to balance the risk between a hasty discharge versus the potential harms caused by a cardiac assessment in patients admitted to the ED with suspected acute cardiovascular disease, the measurement of specific cardiac biomarkers is essential for the early identification of the presence of myocardial dysfunction and/or injury and to significantly reduce the length and costs of hospitalization. Moreover, specific cardiac biomarkers are useful predictors of mortality and major adverse cardiovascular events (MACE) in patients admitted to the ED with suspected acute cardiovascular disease. To guide the implementation of the most rapid algorithms for the diagnosis of Non-ST-Elevation Myocardial Infarction (NSTEMI) into routine clinical practice, clinical scientific societies and laboratory medicine societies should promote collaborative studies specifically designed for the evaluation of the analytical performance and, especially, the cost/benefit ratio resulting from the use of these clinical protocols and POCT methods in the ED clinical practice. In September 2021, a systematic review by the Agency for Healthcare Research and Quality U.S. Department of Health and Human Services (AURQ Report) showed that (a) overall diagnostic accuracy in the emergency department (ED) is high, but some patients receive an incorrect diagnosis (~5.7%); (b) about 2.0% of these patients suffer an adverse event because of the incorrect diagnosis; and (c) about 3.0% of adverse events are serious (~0.3%) .,49.26,49Norman et al. assessedDawson et al. analyzedIn the last 5 years, three POCT hs-cTnI methods have become commercially available worldwide ,26,36,37\u00ae IM High-Sensitivity Troponin I (hs-cTnI) assay, Siemens Diagnostics, Marburg, Germany) for the rapid rule-out of AMI, using a single hs-cTnI measurement at presentation in patients presenting to an ED. Authors enrolled 1171 patients, including 97 (8.3%) with AMI, 78.3% of which were type 2 AMI providedThe implementation of hs-cTnI POCT methods requires not only a careful education of the personnel responsible for biomarker measurement, but also an accurate evaluation of analytical, clinical, and organizational issues related to the routine use of the POCT methods in the ED ,36,37,74HF represents a relevant public health burden in European and North American countries, considering the high risk of morbidity and mortality, particularly among patients \u2265 65 years ,75,76. IThe 2015 consensus paper from the Heart Failure Association of the European Society of Cardiology, the European Society of Emergency Medicine, and the Society of Academic Emergency Medicine Acute Heart Failure has defined AHF as the new onset or worsening of symptoms and signs of HF with associated elevated circulating levels of natriuretic peptides . AHF is Several recent studies and two meta-analyses confirmed the relevance of the measurement of cardiac-specific biomarkers in patients presenting to the ED with acute dyspnea or AHF ,93,94,95The most important limitation of the clinical studies concerning the role of cardiac NPs in patients admitted to the ED with AHF is that these studies have commonly enrolled relatively small, selected patient cohorts. Specific clinical characteristics are prevalent in AHF patients ,78,79,80In 2022, a meta-analysis evaluated the NT-proBNP concentrations of 10,368 individual patients with AHF, with the purpose to develop and validate a decision support tool combining biomarker concentrations and clinical characteristics . In thisIn patients admitted to the ED with suspected ACS, including those with AHF, the measurement of hs-cTnI and hs-cTnT should be considered the first-line biomarkers, in order to identify the presence of myocardial injury and to quickly rule out ACS, leading to a significant reduction in the duration and costs of hospitalization ,101,102.According to the most recent clinical studies, high levels of both cardiac-specific biomarkers in AHF patients are consistently associated with an increased risk of morbidity and mortality, due to the combined presence of a severe reduction in cardiac function and myocardial injury (or even ACS) ,102,104.In order to balance the risk between a hasty discharge versus the potential harms caused by a cardiac assessment in patients admitted to the ED with suspected acute cardiovascular disease, the recent expert documents and guidelines recommend the measurement of specific cardiac biomarkers (NPs and hs-cTn) for the early identification of the presence of myocardial dysfunction and/or injury and to significantly reduce the duration and costs of hospitalization ,100,101.The very recent development of some POCT methods capable of measuring hs-cTnI (as well as NPs) represents a fundamental advance because these methods can significantly reduce the TAT of biomarker measurement ,26,36,37To guide the implementation of the POCT methods, capable of measuring both the specific cardiac biomarkers, into routine clinical practice, clinical scientific societies and laboratory medicine societies should promote collaborative studies specifically designed for the evaluation of the analytical performance and, especially, the cost/benefit ratio resulting from the use of the rapid algorithms for the diagnosis of NSTEMI and the use of POCT methods in the ED clinical practice."}
+{"text": "Objective\u2003To compare the effects of expectant versus interventionist care in the management of pregnant women with severe preeclampsia remote from term.Data sources\u2003An electronic search was conducted in the Medical Literature Analysis and Retrieval System Online (MEDLINE), Excerpta Medica Database (EMBASE), Cochrane Central Register of Controlled Trials (CENTRAL), Latin American and Caribbean Health Sciences Literature , World Health Organization's International Clinical Trials Registry Platform (WHO-ICTRP), and OpenGrey databases. The International Federation of Gynecology and Obstetrics , Royal College of Obstetricians and Gynaecologists (RCOG), American College of Obstetricians and Gynecologists (ACOG), andColombian Journal of Obstetrics and Gynecology(CJOG) websites were searched for conference proceedings, without language restrictions, up to March 25, 2020.Selection of studies\u2003Randomized clinical trials (RCTs), and non-randomized controlled studies (NRSs) were included. The Grading of Recommendations, Assessment, Development and Evaluation (GRADE) approach was used to evaluate the quality of the evidence.Data collection\u2003Studies were independently assessed for inclusion criteria, data extraction, and risk of bias. Disagreements were resolved by consensus.Data synthesis\u2003Four RCTs and six NRS were included. Low-quality evidence from the RCTs showed that expectant care may result in a lower incidence of appearance, pulse, grimace, activity, and respiration (Apgar) scores\u2009<\u20097 at 5\u2009minutes and a higher average birth weight . Very low quality evidence from the NRSs suggested that expectant care might decrease the rates of neonatal death , hyaline membrane disease , and admission to neonatal care . No maternal or fetal differences were found for other perinatal outcomes.Conclusion\u2003Compared with interventionist management, expectant care may improve neonatal outcomes without increasing maternal morbidity and mortality. Preeclampsia is one of the most important causes of maternal morbidity and mortality,Pregnant women with severe preeclampsia remote from term can receive expectant or interventionist care.Two recent systematic reviews with meta-analysesThe purpose of the present review was to compare the effects of expectant and interventionist care in the management of pregnant women with severe preeclampsia remote from term. We included RCTs and NRSs in which women with severe preeclampsia between 24 to 34 weeks of gestation were recruited. Expectant care was defined as a policy of delayed-interval delivery until a specific maternal or fetal indication or 34 weeks of gestation. The maternal primary outcomes included: death; eclampsia; HELLP syndrome; and placental abruption. The primary fetal outcomes were stillbirth; neonatal death; intraventricular hemorrhage (IVH); and small-for-gestational-age fetuses. For the women, the secondary outcomes were: an increase in the rate of Cesarean section; pulmonary edema; renal failure; and prologation of the pregnancy; for the newborns, they were low appearance, pulse, grimace, activity, and respiration (Apgar) score (at five minutes); respiratory distress syndrome; low birthweight; admission to neonatal intensive care unit (NICU); and bronchopulmonary-dysplasia.Colombian Journal of Obstetrics and Gynecology(CJOG) was hand-searched, and citation searches of included studies were screened for additional references. The experts in the field were contacted. No language or date restrictions were applied, and the search was conducted until 25 March 2020.An electronic search was conducted in the Medical Literature Analysis and Retrieval System Online (MEDLINE), Excerpta Medica Database (EMBASE), Cochrane Central Register of Controlled Trials (CENTRAL), and Latin American and Caribbean Health Sciences Literature databases. Furthermore, searches were conducted in the OpenGrey, International Federation of Gynecology and Obstetrics , Royal College of Obstetricians and Gynaecologists (RCOG), American College of Obstetricians and Gynecologists (ACOG) websites for dissertations, theses, and conference proceedings, and in the World Health Organization's International Clinical Trials Registry Platform (WHO-ICTRP) for ongoing studies. TheThe authors of the present study independently screened all titles and abstracts for eligibility, extracted the data, and assessed the risk of bias. Disagreements were solved through consensus. Two authors (MAQ-O and CFG-A) entered the data into the Review Manager software and checked them for accuracy. The risk of bias was evaluated in accordance with the criteria proposed by the Cochrane Bias Methods group for RCTs and NRS .2) test and the I-squared (I2) statistic, and it was considered substantial if thep-value was lower than 0.10 in the \u03c72test, or if the I2was greater than 40%.The statistical analysis was performed with the RevMan software, using the Mantel-Haenszel fixed-effect model for dichotomous data and the inverse of the variance for continuous data, in which the trials were judged sufficiently homogeneous.The publication bias was to be explored through an assessment of funnel plot asymmetry and formal tests. However, because the present review included fewer than 10 RCTs and NRSs in the meta-analysis, this analysis was not performed. \u201cSummary of findings\u201d tables were prepared using the Grading of Recommendations, Assessment, Development and Evaluation (GRADE) approach to assess the certainty of the evidence.The searches yielded 2,098 references; after removing duplicates, 2,059 studies were screened. From these studies, 45 had their full texts reviewed. A total of 10 studies met the inclusion criteria: 4 were RCTs,The RCTs were conducted between 1990 and 2013, and they included studies from Egypt, South Africa, and the United States. One study recruited participants from different Latin American countries. The studies included 430 women with single or multiple pregnancies, regardless of parity, and with gestational ages at admission between 28 and 34 weeks. Three trialsExpectant management was characterized by bed rest and treatment with magnesium sulfate, antihypertensives, and glucocorticoids, followed by delivery only for specific maternal/fetal indications or completion of 34 weeks of gestation. The maternal indications for termination of pregnancy were uncontrollable hypertension, abruptio placenta, renal failure, HELLP syndrome, persistent severe headache or visual changes, or epigastric pain; the fetal indications for delivery were non-reassuring fetal status, and fetal growth restriction. Interventionist care consisted of induction of delivery from 24 to 48\u2009hours after complete fetal pulmonary maturation. For both groups, fetal wellbeing was assessed through the non-stress test, a doppler evaluation, and periodic ultrasound .The NRSs were retrospectiveExpectant care involved bed rest, daily recording of maternal weight, fluid balance, monitoring of the maternal blood pressure and of the urine output every four hours, the administration of magnesium sulfate or anticonvulsants ,For the generation of random sequences and allocation concealment, three trialsThe NRSs were judged to be at high risk for the confounding bias and selection bias domains. The cohorts were prone to exclusion of some eligible participants, and one or more prognostic variables could have predicted the intervention received. Regarding the classification of interventions, all NRSs were assessed as having a low risk of bias; it is unlikely that bias will be introduced by the differential or non-differential misclassification of the intervention status. The NRSs included were judged as high-risk for bias due to deviations from the intended interventions; there were some systematic differences between experimental interventions and comparator groups in terms of the care provided (such as corticosteroid administration). For the biases due to missing data and due to measurement of the outcome domains, all NRSs were appraised as low-risk. No individuals with missing data were included in the cohorts, and because the outcomes were objectively assessed, differential or non-differential errors in the measurement of the outcome data are unlikely. Finally, the protocols of the NRSs were not available, making the risk of bias for selective reporting unclear.2\u2009=\u2009not estimable), of HELLP syndrome , of pulmonary edema , or of stillbirth , because the quality of the evidence for these outcomes was low , of intraventricular hemorrhage , of hyaline membrane disease , and of admission to the NICU , and may not have any effect on maternal morbidity , but the quality of the evidence was low, and the results were imprecise.Expectant care may not decrease the rates of neonatal death and higher average birthweight . On average, expectant care may extend pregnancy by 1 week , and increase the risk of small-for-gestational-age newborns , with little or no effect on the rates of cesarean section .The newborns in the expectant care group may have a lower incidence of appearance, pulse, grimace, activity, and respiration (Apgar) scores\u2009<\u20097 at 5\u2009minutes , HELLP syndrome , and pulmonary edema . Expectant care had no clear effect on the incidence of placental abruption , or renal failure .Very low quality evidence from the NRSs showed that it is uncertain whether expectant care may increase the rates of: maternal mortality , the incidence of Apgar scores\u2009<\u20097 at 5\u2009minutes , and may result in a small increase in small-for-gestational-age newborns . Interventionist care may not reduce the incidence of stillbirth , but, once again, the results were imprecise.Evidence from the NRSs suggested that, compared with interventionist care, expectant management may not decrease the frequency of intraventricular hemorrhage and be effective in decreasing the rates of neonatal death , of hyaline membrane disease , and of admission to the NICU , with little or no effect on the rates of caesarean section .Very low quality evidence from the NRSs showed that expectant care may increase birthweight (MD: 144.2\u2009g; 95%CI: 20.7 to 267.8; 4 cohort studies; 285 newborns; IThe management of the women with severe preeclampsia remote from term is a challenge for the obstetrician, and requires weighing maternal and fetal risks and benefits.Some findings of the present review differ from those reported in other publications. One reviewAnother reviewThe present systematic review has some strengths,Despite its limitations, the present systematic review has some implications for the clinical practice. Low quality of evidence from the RCTs showed that expectant care may result in a lower incidence of Apgar scores\u2009<\u20097 at 5\u2009minutes and a higher average birthweight. Very low quality evidence from the NRSs suggested that expectant care may decrease the rates of neonatal death, hyaline membrane disease, and admission to the NICU. No maternal or fetal differences were found for other perinatal outcomes. More studies with higher methodological quality and with adequate sample sizes are required."}
+{"text": "The foundations of Artificial Intelligence (AI), a field whose applications are of great use and concern for society, can be traced back to the early years of the second half of the 20th century. Since then, the field has seen increased research output and funding cycles followed by setbacks. The new millennium has seen unprecedented interest in AI progress and expectations with significant financial investments from the public and private sectors. However, the continual acceleration of AI capabilities and real-world applications is not guaranteed. Mainly, accountability of AI systems in the context of the interplay between AI and the broader society is essential for adopting AI systems via the trust placed in them. Continual progress in AI research and development (R&D) can help tackle humanity's most significant challenges to improve social good. The authors of this paper suggest that the careful design of forward-looking research policies serves a crucial function in avoiding potential future setbacks in AI research, development, and use. The United States (US) has kept its leading role in R&D, mainly shaping the global trends in the field. Accordingly, this paper presents a critical assessment of the US National AI R&D Strategic Plan and prescribes six recommendations to improve future research strategies in the US and around the globe. The roots of Artificial Intelligence (AI) as a research field are usually traced back to a workshop held in 1956 on the campus of Dartmouth College knowledge discovery from multi-modal, noisy, and big data; (ii) perceptual capabilities of AI systems via sensors and other means; (iii) understanding of theoretical limitations of AI concerning available hardware; (iv) general-purpose artificial intelligence that is capable of performing different kinds of tasks like humans do; (v) coordination of multi-AI systems; (vi) human-like AI that can learn from small sample sizes, and that can explain itself; (vii) robotic technologies; (viii) hardware specialized for AI; and (ix) AI for improving hardware design. This strategy mentions several vital concepts such as perception and attention, commonsense and probabilistic reasoning, combinatorial optimization, knowledge representation, natural language processing, and human-machine interaction as prioritized areas for fundamental AI research.The second strategy is concerned with developing effective methods for human-AI collaboration. The strategy suggests that many applications of AI will not be completely autonomous. Instead, a combination of AI and human systems will work together. An effective and efficient human-AI collaboration requires additional R&D. The strategy highlights some development challenges: (i) human-aware intelligent systems that are capable of intuitive interaction with humans; (ii) AI techniques that enhance human capabilities, for instance, through wearable devices; (iii) human-AI interfaces to present increasingly complex data in a human-understandable manner; and (iv) better language processing systems that overcome current challenges such as noisy surroundings, heavily accented speech, impaired speech, and real-time dialogue with humans. The strategy also argues that trust in AI is necessary for human-AI collaborations, which is related to fairness, explainability, and transparency.The third strategy is concerned with understanding and addressing AI's ethical, legal, and societal implications. This strategy focuses on fundamental concepts such as trustworthiness, fairness, transparency, accountability, explainability, and ethics. The strategy presents three subsections to explore critical challenges: (i) incorporating fairness, transparency, and accountability in the design of AI systems, (ii) building ethical AI; and (iii) designing system architectures incorporating ethical reasoning.The fourth strategy is concerned with ensuring the safety and security of AI systems. The strategy emphasizes the vital role of safety and security in achieving robust and trustworthy AI systems. The strategy presents several challenges: (i) developing AI systems that are capable of explaining the reasons behind the outputs they produce; (ii) building trust in AI; (iii) enhancing verification and validation of AI systems by meeting formal specifications and user's operational needs, respectively; (iv) robustness against cyber-attacks; and (v) developing self-monitoring architectures for the safety of self-modifying systems.The fifth strategy involves developing shared public datasets and environments for AI training and testing. The strategy presents three critical areas of importance: (i) developing a wide variety of accessible datasets for the needs of the whole spectrum of AI applications; (ii) ensuring responsiveness of training and testing resources to public and commercial needs; and (iii) open-source software for making AI technologies more accessible. The strategy further stresses the importance of findability, accessibility, interoperability, and reusability principles for datasets and potential privacy and bias issues in datasets. Moreover, the need for computational resources to process data is underlined.The sixth strategy is concerned with measuring and evaluating AI technologies based on well-established standards and benchmarks. The strategy highlights several areas as needing further progress: (i) developing AI standards for the broad spectrum of AI; (ii) establishing benchmarks for evaluating AI and its compliance to the standards; (iii) increasing the availability of testbeds in all areas of AI; and (iv) engaging users, industry, government, and academia in standards and benchmarks. Further, the strategy calls attention to measuring and evaluating AI systems to assess and assure safety, security, privacy, robustness, explainability, transparency, and fairness.The seventh strategy is to understand better the national AI R&D workforce needs. It highlights the increasing demand for AI expertise and calls for improving the existing efforts for advancing the AI R&D workforce. The strategy explicitly mentions enhancing instructional capacity from K-12 to graduate level, nurturing computer scientists and experts from other fields such as cognitive science, economics, linguistics, and others.The last strategy concerns expanding public-private partnerships to accelerate advances in AI. The strategy explicitly states government, universities, and industry entities for public-private partnerships. The benefits of such collaboration include leveraging resources to push innovation, supporting the practices based on these innovations, and enhancing the training for future researchers and practitioners.The increasingly decisive role of AI in people's lives necessitates a sociotechnical viewpoint improving fairness, transparency, and accountability by design, (ii) building ethical AI, and (iii) designing architectures for ethical AI. However, as described in the Plan, these three challenges largely overlap without clear and intuitive distinctions. Also, explainability is discussed in the fourth strategy, which is concerned with the safety and security of AI systems. In contrast, this paper argues that it is more appropriate to discuss explainability concerning the other components of the third strategy and within its scope.Recommendation: The third strategy may be rewritten to present notions and challenges concerning social implications and accountability of AI systems, which include concepts such as responsibility, explainability, robustness, and fairness. It should also contain references to other related strategies, such as the second strategy on human-AI collaboration, the fourth strategy on privacy and security of AI systems, and the sixth strategy on developing methods, metrics, benchmarks, and standards to evaluate AI systems.VI. The trust to be placed in AI and its expanding role in society depends not only on the benefits of AI but also on its risks, potential harms, and remedies (Knowles and Richards, Recommendation: The Plan should support research initiatives that tackle questions related to understanding and operationalizing the risks and harms of AI systems so that risk ratings, certifications, and insurance become feasible for AI systems. This recommendation relates to Strategies 3, 4, and 6.V. The seventh strategy addresses the increasing demand for AI researchers and practitioners. While it acknowledges that the AI workforce is not composed only of computer and information scientists and engineers but also includes multidisciplinary teams, it appears to present the other fields and domains as areas \u201cin which AI may be applied.\u201d We suggest that multidisciplinary work where people from different disciplines work together is insufficient. Instead, an interdisciplinary and transdisciplinary approach (van den Besselaar, Recommendation: Considering the emerging intertwined nature of AI and human lives, the importance of cultivating an interdisciplinary and transdisciplinary AI workforce should be emphasized.VI. The eighth strategy supports expanding public-private partnerships focusing on government-university-industry research and development partnerships. Given the social implications of AI, civil society organizations play a relevant and valuable role in representing the expectations of the broader society.Recommendation: The eighth strategy should be expanded to include collaboration with civil society organizations, particularly concerning future developments regarding the societal implications of AI.The US is leading in shaping AI research and development trends globally. Such trends are highly relevant for the future of the field, especially to direct resources to prevent another AI Winter, improve social good, and ensure the safe progress of the society toward the new sociotechnical paradigm. Given this pressing issue, this paper investigates the official AI R&D strategies of the US government with a critical lens. It offers six recommendations to improve AI research strategies in the US and beyond.The first recommendation calls for more fundamental research on causality in AI. The second recommendation calls for a better understanding of and mechanism design for human oversight of AI. The third recommendation calls for a clear and comprehensive presentation of accountable AI to guide future research. The fourth recommendation calls for further efforts to facilitate risk ratings, certifications, and insurance for AI systems. The fifth recommendation calls for more interdisciplinary and transdisciplinary research. Finally, the sixth recommendation calls for the participation of civil society actors in AI research collaborations.The original contributions presented in the study are included in the article/supplementary material, further inquiries can be directed to the corresponding author.FG and IK contributed to conception and design of the study, contributed to manuscript revision, read, and approved the submitted version. FG wrote the first draft of the manuscript. All authors contributed to the article and approved the submitted version."}
+{"text": "One Health approach is crucial to tackling complex global public health threats at the interface of humans, animals, and the environment. As outlined in the One Health Joint Plan of Action, the international One Health community includes stakeholders from different sectors. Supported by the Bill & Melinda Gates Foundation, an academic community for One Health action has been proposed with the aim of promoting the understanding and real-world implementation of One Health approach and contribution towards the Sustainable Development Goals for a healthy planet.The proposed academic community would contribute to generating high-quality scientific evidence, distilling local experiences as well as fostering an interconnected One Health culture and mindset, among various stakeholders on different levels and in all sectors. The major scope of the community covers One Health governance, zoonotic diseases, food security, antimicrobial resistance, and climate change along with the research agenda to be developed. The academic community will be supported by two committees, including a strategic consultancy committee and a scientific steering committee, composed of influential scientists selected from the One Health information database. A workplan containing activities under six objectives is proposed to provide research support, strengthen local capacity, and enhance global participation.The proposed academic community for One Health action is a crucial step towards enhancing communication, coordination, collaboration, and capacity building for the implementation of One Health. By bringing eminent global experts together, the academic community possesses the potential to generate scientific evidence and provide advice to local governments and international organizations, enabling the pursuit of common goals, collaborative policies, and solutions to misaligned interests.The online version contains supplementary material available at 10.1186/s40249-023-01124-w. The One Health approach, centered around holistic thinking at the interface of humans, animal, and the environment, aims to promote the health and sustainable development of these sectors through multi-sectoral, interdisciplinary, and cross-border collaboration . It is aIn October 2022, the Food and Agriculture Organization of the United Nations (FAO), the United Nations Environment Programme (UNEP), the World Health Organization (WHO), and the World Organization for Animal Health (WOAH) jointly released the One Health Joint Plan of Action (OHJPA) [Supported by Bill & Melinda Gates Foundation, an academic community for One Health action has been proposed by Shanghai Jiao Tong University in Shanghai China, with the aim of promoting the understanding, contribution and real-world implementation of the One Health approach towards the Sustainable Development Goals (SDGs). In order to strategize the construction of this academic community, a Scientific Steering Committee (SSC) was jointly formed up with a wide engagement of more than 26 experts and institutions over 18 countries and regions Providing high-quality scientific evidence through collaborative research, joint publications, and conferences on issues such as (re-)emerging infectious diseases, climate change, and antimicrobial resistance (AMR).(ii)Distilling local experiences and analyzing current One Health practices to prioritize national strategies and international collaborations.(iii)Fostering an interconnected One Health community, where partners have visibility of resources and policymakers have access to One Health solutions.The academic community can contribute to achieving the goal by:The academic community will develop a research agenda for global partners working in One Health and promote information sharing by providing a collaborative body for members. The academic community will also connect different disciplines and stakeholders at national, regional, and global levels to promote innovation in implementation and increase the impact of One Health work, including through cooperation with international organizations such as the WHO and the World Bank.The academic community also serves as an international exchange and cooperation platform for One Health solutions tailored for the diverse socio-ecological settings within the networks, which also provides an additional benefit to the inter-governmental collaborations that extend beyond the realm of One Health.Finally, the academic community will advocate for awareness of the links between human, animal, and environmental health and engage with policy makers at both national and international levels to promote the inclusion of One Health measures. The academic community will also collaborate with non-governmental organizations, academic institutions, and others in the public and private sectors to promote education and public awareness of One Health.The organizing structure of the academic committee has been proposed. A Strategic Consultancy Committee (SCC) and a Scientific Steering Committee (SSC) will be constructed to form the leadership of the academic community. The SCC, composed of high-level key opinion leaders, is responsible for developing strategic plans and action guides for the academic committee, supervising the work of SSC and secretariat and leveraging resources to catalyze the implementation of workplans. The SSC is composed of top-ranking academic experts, who have been selected from the One Health information database based onUnder the three goals of the academic community, six objectives have been developed: conducting collaborative research project (objective 1), expanding interconnected research network (objective 2), identifying and disseminating local cases (objective 3), promoting knowledge- and data- sharing platform (objective 4), fostering One Health culture and mindset (objective 5), and engaging broader partnership (objective 6). The workplan to achieve these objectives and goals is shown in Fig.\u00a0Based on overarching goals of the academic community for One Health action, research priorities to support the community will focus following five areas, including One Health governance, control of zoonotic infections, food security and food safety, control of AMR, and impact evaluation of climate changes on health.One Health governance refers to the development, implementation, and oversight of policies that support the One Health approach. It encompasses eight dimensions, including public participation, rule of law, transparency, responsiveness, consensus orientation, fairness and inclusivity, effectiveness and efficiency, and policy support . An effeA major challenge is the lack of coordination between different sectors and stakeholders . Many coTo address this issue, the academic community should facilitate the development of effective One Health governance frameworks that span multiple sectors and disciplines, drawing from lessons learned towards best practices. The academic community will also advocate for the establishment of a global governance framework for One Health, providing an international reference point for countries aiming to improve their own One Health governance.Zoonotic diseases are a high-priority target for the One Health approach. Zoonotic diseases are challenging for global surveillance, prevention, and control measures. One of the main factors is the emergence of these diseases, which highlights the need for a better understanding of the dynamics of pathogen spillover and transmission between animals and humans so that intervention strategies could be developed to zoonoses more effectively . AdditioTo address these challenges, the academic community will facilitate research to identify the drivers of zoonotic disease emergence and enhance surveillance and prevention strategies. This will require interdisciplinary collaboration among public health, veterinary medicine, wildlife ecology, and the social and economic sciences. The academic community will also strengthen countries\u2019 capacities to detect, report, and respond to zoonotic disease outbreaks by three activities: (i) expanding laboratory capacity, including improving laboratory professional level, building reference laboratory networks, standardizing standard operating procedures, etc.; (ii) improving disease surveillance efficiency, including applying innovative surveillance tools, enhancing surveillance and response systems, improving the surveillance evaluation approaches, etc.; and (iii) strengthening animal health systems, including enlarging animal surveillance networks, developing animal disease alarming system, optimizing animal health management, etc.Food security and food safety is a complex issue that affects all aspects of human life. It involves ensuring that people have access to sufficient, safe, and nutritious food that is appropriate for their culture and lifestyle . One of Currently, over 820 million people worldwide suffer from chronic hunger, while an additional 2 billion people suffer from malnutrition due to a lack of essential micronutrients in their diets . ClimateTo improve food security, the academic community will promote sustainable agricultural practices, enhance the resilience of supply chains to climate change and other shocks, reduce food waste, improving food safety, and enhance food accessibility. The One Health approach will address these objectives by working with organizations and governments to incorporate the interdependence of human, animal, and environmental health in their initiatives.AMR is a major public health threat and another key focus of the academic community. AMR occurs when bacteria, viruses, fungi, or parasites develop resistance to antimicrobial drugs, making it more difficult to treat infections . The misOne of the main challenges in addressing AMR is the lack of awareness and understanding among the public who access drugs over the counter, and healthcare professionals who administer them in bulk, both behaviors that contribute to resistance. Additionally, developing new antimicrobials is slow and costly, and even newly developed drugs can quickly become ineffective if they are similarly misused .To combat AMR, the academic community targets at educating the public and healthcare professionals about the risks of AMR and the importance of appropriate antimicrobial use, as well as improving access to diagnostic tests to ensure that antimicrobials are only used when necessary.In addition to these efforts, the academic community should work to improve surveillance and monitoring of AMR in various One Health components including wild life and migratory birds along with development of better methods for tracking the spread of resistant pathogens between animals, humans and ecosystems. The academic community also supports the development of rapid and cost-effective point-of-care testing AMR diagnostic technologies, alternative treatments, and vaccines to mitigate the impact of AMR. Through these efforts, the academic community hopes to slow the spread of AMR and preserve the effectiveness of crucial drugs.Climate change is one of the most pressing global challenges of our time. Its impacts are vast and far-reaching, affecting not only the natural world but also human health and well-being. Disadvantaged and vulnerable populations are disproportionately affected. Climate change exacerbates existing health problems and poses new risks, such as increased frequency and severity of extreme weather events, changing patterns of infectious diseases, and food and water insecurity . AddressThe One Health approach provides an essential framework for addressing the health impacts of climate change . Key strTo build an academic community for One Health action, four approaches have been proposed as follows.The academic community connects resources to support interdisciplinary research in the field of One Health. This includes advocating funding agency to put One Health on their high profile and linking funding opportunities to research projects that investigate the links between human, animal, and environmental health. Meanwhile, the academic community supports joint research programs and collaborations across different sectors and countries and also cultivate the research competitiveness for professionals in One Health to improve their capabilities to obtain funding and resources.The academic community serves as a bridge to translate scientific knowledge from research to evidence-based solutions for policy makers. Through applying both bottom-up and top-down approaches, the academic community supports implementation science to identify local needs and real gaps, and builds up dialogues between local practitioners, scientists, funders and policy makers. Meanwhile, the academic community can also contribute to developing innovative mechanisms to connect the local with the regional, and to scale up regional experiences to global policy agenda.The academic community supports training programs and other capacity-building initiatives to strengthen the research capabilities of individuals and organizations working in One Health fields. This includes training in research paradigms, methods, experimental practices, and data analysis, as well as the development of One Health related disciplines and research networks, with an emphasis on early career researchers and researchers from low- and middle-income countries.The academic community develops communication and engagement strategies to promote public awareness of One Health, and encourages diversity of the participants in One Health initiatives. It also coordinates stakeholders from around the world, together with representatives from the governments, non-governmental organizations, academic institutions, and the private sector, to promote One Health policies and practices.This article proposes to foster an academic community for One Health action, which is expected to incorporate the experience of a diverse variety of experts and stakeholders, who will be organized under the structure of SCC and SSC. Overarching research agenda followed by specific workplans and activities has been elaborated in this article, based on the exchanges and consensus of SSC. Multifaceted approach, that involves systematic thinking, evidence-based activities, transparent mechanisms, education, and communication, should be adapted profoundly in building up the community.With the tasks of promoting wider and deeper collaboration in research and practice, the community will contribute to producing novel scientific evidence, facilitating dialogues among different stakeholders, and advising for national and international policy, in its efforts to tackle global public health security at the human-animal-environment interface.Additional file 1: Table S1. The list of geographic distributions and research areas of Scientific Steering Committee (SSC) members of the proposed academic community"}
+{"text": "The research area of adolescent health corresponds to the summary of a wide range of scientific interests and investigations, focusing on the first years of life of an individual . It has Health, and in particular adolescent health, are inexorably tied to the levels of physical activity and fitness; thus, a number of publications focused on this topic. Specifically, based on the 2018 Chinese National Student Physical Fitness Standard Test data, Tong et al., used a multi-scale approach to investigate the spatial heterogeneity and regional clustering of factors influencing Chinese adolescents\u2019 physical fitness, providing a national-level view . FurtherPhysical activities, such as the ones described above, are often identified as the visible expression of emotional adolescent health. Therefore, a few publications focused on emotions and emotional health. Using cross-sectional, survey-based data from Norway between 2017\u20132019, the association between physical activity organized in sports clubs, non-organized physical activity, other organized leisure-time activities, and depressive symptoms among adolescents were investigated . A diffeThe concepts affecting behaviors and perceptions were investigated further by four separate studies. In particular, the prevalence and predisposing factors related to self-medication among medical and pharmacy students in Serbia, as attitudes towards conventional and complementary medicine among future healthcare professionals can impact their future pharmacotherapy practice . A crossA third group of submitted manuscripts involved the perspectives of food and nutrition, in particular the teen-identified indicators of targeted food marketing, with a particular focus on the aggressive marketing of unhealthy foods . Two revThe fourth and final thematic group that emerged in the papers published as part of this Special Issue had a biological and molecular focus. This included two cross-sectional studies: one of ocular changes in adolescents with diabetes mellitus in health facilities in Ghana , and oneTaken together, the above provide a successful collection of research studies on adolescent health and highlight the necessary interdisciplinarity of the work required to address current scientific questions. The COVID-19 pandemic has acted as a catalyst , bringin"}
+{"text": "The last decade has seen a noticeable upsurge in the use of biologics, including platelet-rich plasma (PRP), for applications in musculoskeletal regenerative medicine. Clinical trials, case series, systematic reviews and meta-analyses have shown the safety and efficacy of PRP for the management of several musculoskeletal disorders . Additio2) to tissues and carbon dioxide (CO2) from tissues to the lungs [2 and CO2. The typical life cycle of an RBC is 120 days, and RBC senescence is responsible for their removal from circulation by macrophages. The shear forces involved in whole-blood phlebotomy procedures or imperfect PRP concentration practices can cause damage to RBCs in PRP formulations. This results in the disintegration of the RBC membrane and the secretion of noxious hemoglobin, appraised as plasma-free hemoglobin, iron and hemin [RBCs are anuclear, comprise protein-bound heme, and transport oxygen , a potent cytokine . MMIF caIn addition, the function of RBCs in tissue regeneration is yet to be determined. There are no pre-clinical or clinical investigations assessing the efficacy of RBC-rich PRP compared to RBC-poor PRP. Thus, until the role of RBCs is established and the pros of including RBCs in a PRP formulation outweighs its cons, it is essential to reduce or eliminate the content of RBCs in PRP formulations to avoid the damaging effects of hemolysis and eryptosis on musculoskeletal tissues."}
+{"text": "Disorders of sex development (DSD) are characterized by an atypical development of chromosomal, gonadal, and anatomic gender. DSD are divided to three classes with male normal, female normal and abnormal karyotypes and have an incidence at birth of approximately 1 in 5000. DSD patients are exposed during their long-term follow-up to severe psychological stress.The aim of our study was to determine the behavioral concerns of adults with DSD and to identify the major factors that may influence their emotional and psychological well-being.We explored, through our genetic counselling reports at the medical University of Sfax, the quality of life and the psychological concerns of all adults patients assessed for DSD with and without chromosomal and/or molecular genetic abnormalities. We also assessed their need of psychological support.During the last two decades of our genetic counselling experience, 46 adult patients (age superior to 18 years) were selected for this study. The analysis of data revealed that the major psychological concern in our DSD patients was related to their reproductive capacity. In contrast, they have poor subjective norms of communicating sexual and reproductive issues with their partners. Patients who presented non-corrected ambiguous genitalia were in the majority anxious and depressed with a constant feeling of social shame.Sex development plays a fundamental role in determining the physical attributes of the body, the structure of the brain, behavioral tendencies, and the self-concept. The clinical and social approaches of DSD conditions in our society need to be improved. Genetic and psychological counselling should thorough a deep medical education regarding reproductive and sexual health in each particular case of DSD. We emphasis, that early genetic diagnosis, involvement of patients and families in a patient-centered decision-making process, and consideration of long-term health-related quality-of-life outcomes should be considered in DSD.None Declared"}
+{"text": "Negative symptoms has been classically associated with cognition, psychosocial functioning and quality of life in patients with schizophrenia. But negative symptoms are not a unitary construct, encompassing two different factors: diminished expression, and motivation and pleasure. Few works have studied the relationship between these two different negative symptoms factors and cognition , psychosocial functioning and quality of life, jointly, in patients with a first psychotic episode of schizophrenia.The objective of the present work was to study, in a sample of patients with a first psychotic episode of schizophrenia, the relationship between the negative symptoms (diminished expression and motivation and pleasure) and neurocognition, social cognition, functioning and quality of life.The study was carried out with 82 outpatients with a first psychotic episode of schizophrenia from two Spanish hospitals . The patients were assessed with the Clinical Assessment Interview for Negative Symptoms (CAINS) for evaluating diminished expression (EXP) and motivation and pleasure (MAP) symptoms, the MATRICS Consensus Cognitive Battery (MCCB) for evaluating neurocognition and social cognition, the Social and Occupational Functioning Assessment Scale (SOFAS), and the Quality of Life Scale (QLS).A negative correlation was found between neurocognition and the two negative symptoms subscales: CAINS-EXP and CAINS-MAP ; but with social cognition only CAINS-EXP was correlated . Also, it was found a high negative correlation between SOFAS scores and CAINS-MAP ; and a medium negative correlation with CAINS-EXP . Finally, QLS score was high correlated with both CAINS subscales: CAINS-EXP and CAINS-MAP .This study found a relationship between negative symptoms and neurocognition, social cognition, functioning and quality of life in a sample of patients with a first psychotic episode of schizophrenia. But the two different negative symptom factors, diminished expression, and motivation and pleasure, are associated differently with psychosocial functioning, but especially with social cognition where the relationship was only found with diminished expression symptoms.None Declared"}
+{"text": "The situation that has been going on in Ukraine for the past six months has led to catastrophic consequences. This forces neuroscientists and, including psychiatrists, to turn to the study of the impact of all these events on the mental health of the population of Ukraine. In 90th of XX Russian psychiatrist Y. A. Alexandrovsky expressed opinion of presence the group of so-called social-stress disorders (SSD) that was determined like psychogenic-actual for most people in definite social, economic and political situation. Most of the people in Ukraine now experience both SSD and post-traumatic stress disorder (PTSD).Most of the people in Ukraine now experience both SSD and post-traumatic stress disorder (PTSD).The method of clinic-psychopathological interview with patients who applied out-patient consultation on the chair of psychiatry.The main changes in psychic state include following behaviors and clinical implications: loss of the value of human life, which is manifested in indifference to death in lowering caution when hazardous situations, willingness to sacrifice lives without any ideals. There is unrestrained lost for pleasure and moral promiscuity, exacerbation of personality typological traits, development of hyperstenic reactions (to self-destructive non-expedient behavior), hypostenic disorders, panic reactions, depression, dissociative and conversive irregularities, loss of communicational plasticity, loss of the ability to adapt to what happens with the preservation prospects of targeted actions, manifestations of cynicism, the tendency to antisocial actions. Patients had complaints on increase anxiety, pessimistic attitudes, existential vacuum, sense of uselessness and loss of perspectives, tendency to irrational perception of reality with including mechanisms of autistic and archaic thinking.Thus, psychological status of the population of Ukraine is a model of complicated combination of SSD plus PTSD can be considered like a basis which leads to the decreasing of the individual barrier of mental adaptation with the next manifestation of different forms of psychopathological syndromes and needs further in-depth and detailed research.None Declared"}
+{"text": "The contributions in this Research Topic collectively explore the nature of functional brain connectivity and its relation to cognition, emphasizing shared mechanisms and brain complexity. Results presented here reveal common themes in how the brain dynamically reorganizes and adapts to task- and disease-related perturbations.Stylianou et al.), a dimensionality reduction technique to facilitate comparisons of oscillatory patterns across task paradigms and modalities , a new adaptation of the dynamic causal modeling (DCM) approach to capture connectivity changes during more ecological tasks such as movie watching (Nag and Uludag), a new connectivity method based on the Kuramoto model of coupled oscillators applied to network-level fMRI data , and a framework to study the relationship between functional connectivity and complexity (Das and Puthankattil).Some of the contributions present a variety of theoretical and methodological approaches to studying the relationship between connectivity, dynamics, and complexity. The articles include a novel multi-fractal functional connectivity estimation to track changes during visual pattern recognition , changes in individual differences along the language network hierarchy and their potential as biomarkers , the adaptation of the dorsal attention network to demands of a spatial attention task , the relationship between memory, depression, and inter-network connectivity , and the recovery of cognitive functions and related task networks after anesthesia .From an application perspective, contributions focus on the study of the large-scale cortical networks supporting cognition, in health and disease, including navigation subnetworks representing different types of spatial relation representations (We consider that the integration of these studies has the potential to advance our understanding of common principles governing the dynamic and complex relationship between brain connectivity and cognition.All authors listed have made a substantial, direct, and intellectual contribution to the work and approved it for publication."}
+{"text": "A chronic illness exerts a profound impact on an individual's physical and mental wellbeing, while also influencing their identities, familial relationships, and social responsibilities. Managing a chronic condition is a lifelong endeavor that demands substantial lifestyle adjustments, strict adherence to medication and treatment regimens, and the implementation of preventive measures. Informal caregivers, typically partners, spouses, family members, and friends, play a pivotal role in this experience: they are tasked with a range of complex and demanding responsibilities, such as responding to emergencies, mediating disagreements between patients and physicians, participating in treatment decisions, and addressing patients' emotional and practical needs. Promoting and supporting both patient and caregiver engagement is therefore vital for effective management of the disease.This Research Topic (RT) delves into the complex interplay between individuals facing chronic health conditions and their caregivers. The contributions included emphasize the intricate dynamics of patient-caregiver relationships and the interdependence between their actions and outcomes, encompass diverse populations such as patients and caregivers facing cardiac diseases, multiple sclerosis, amyotrophic lateral sclerosis, hemodialysis, and multimorbidity. The studies presented shed light on the theme of engagement by delving into the topic of caregiver burden and by presenting psychological interventions health education programs, and self-care programs aimed at increasing engagement.Golan and Vilchinsky; Rapelli, Giusti, Tarquinio, et al.; Rapelli, Giusti, Donato, et al.) explored the relationship between patient and caregiver wellbeing and different aspects of cardiac disease management. The study by Rapelli, Giusti, Tarquinio, et al. offered a scoping review of the existing psychological couple-oriented interventions conducted for patients with heart disease and their partners. The review collected 11 studies with heterogeneous designs, theoretical backgrounds, types of intervention, personnel involved, intervention formats , number of sessions, and duration. Results indicated high variability among couple-based interventions, lack of adequate details regarding the training of professionals delivering them, the contents of the interventions, and the theoretical models informing these programs. Interventions for patients with cardiovascular disease and their partners were found to moderately improve psychosocial outcomes. Furthermore, in most studies, only the patients' psychological strategies and outcomes were considered. Current contributions also revealed the stress experienced when a transplant or the implantation of an external device such as the Left Ventricular Assist Device (LVAD) is needed. The qualitative study by Rapelli, Giusti, Donato, et al. utilizes a phenomenological hermeneutic approach to understand the experience of six patient-caregiver dyads undergoing cardiac rehabilitation Four were the main themes: Being between life and death, Being human with a heart of steel, Sharing is caring (and a burden), and Being small and passive. Finally, Golan and Vilchinsky reflect on the necessity of applying a dyadic approach in the context of Left Ventricular Assist Device transplantation to enriching the understanding of patients' coping with this disease.Three of the studies included in the present RT considered the issue of care burden in informal caregivers of patients with multiple sclerosis (MS), given the risk of impaired quality of life, physical, and mental wellbeing of this population. The authors illustrate the Family-Centered Empowerment Model and compared it with TAU , showing that the intervention proposed does not have a favorable effect in reducing the care burden among caregivers of patients with MS. Another article contributed to the literature about caregiver-focused interventions. The authors aimed to evaluate the effectiveness of a health education program based on the \u201cTiming it Right\u201d framework (IG) on the caregivers' care ability, emotions, and health-related quality of life in the context of haemodialysis. However, the intervention had no significant effect in alleviating care burden. Similarly, the study protocol by Gomes de Souza e Silva et al. aims to investigate the effects of a self-care education program via telerehabilitation on the burden and quality of life of caregivers of individuals with Amyotrophic Lateral Sclerosis. This program has the potential to be widely disseminated among health professionals, increasing remote monitoring of individuals with difficulty performing practical care activities.One study and overlapping cognitive assessments of the circumstance emerged as higher-order factors from the quotations. Second, relationship-related tactics, such as striking a balance between autonomy and equity in the couple, were frequently highlighted. Third, some couples discussed the advantages of individual strategies that focus on developing partners' resources outside of their romantic partnerships (such as creating relationships with their grandchildren or spending time in nature).Care coordination and distress increase in case of multimorbidity , the physical, psychosocial, and relational changes and aspects of threats elicited by multimorbidity also provoke significant emotional responses. The qualitative study by This Research Topic underscores the significance of recognizing chronic illness management as a collaborative experience shared by patients and informal caregivers. The studies presented shed light on the complexities of patient-caregiver relationships, offering insights into the effectiveness of interventions and the evolving needs of those navigating chronic illnesses. By adopting a dyadic perspective, healthcare professionals can better support individuals facing chronic illnesses and their caregivers and tailor care approaches to their needs. Future research should continue to explore dynamics within these partnerships and develop tailored interventions that address the multifaceted challenges they encounter.GR: Writing \u2013 original draft. CA: Writing \u2013 original draft. EG: Writing \u2013 original draft. SD: Writing \u2013 original draft."}
+{"text": "The 1978 Italian reform of psychiatric services initiated the closure of psychiatric hospitals encouraging the development of community mental health. However, there is wide variability across regions in the amount of resources devoted to community-based psychiatric care, and the range of services provided still is cause of concern.To evaluate the quality of mental health care delivered to patients with schizophrenia and related disorders taken-in-care by mental health services in four Italian regions .Thirty-one clinical indicators concerning accessibility, appropriateness, continuity, and safety were defined and estimated using healthcare utilization (HCU) databases, containing data on mental health treatments, hospital admissions, outpatient interventions, lab tests and drug prescriptions.A total of 70,586 prevalent patients with schizophrenia treated in 2015 were identified, of whom 1,752 were newly taken-in-care. For most patients community care was accessible and moderately intensive. However, care pathways were not implemented based on a structured assessment and only half of the patients received psychosocial treatments. One patient out of ten had access to psychological interventions and psychoeducation. Activities specifically addressed to families involved a third of prevalent patients and less than half of new patients. One patient out of six was admitted to a community residential facility, and one out of ten to a general hospital psychiatric ward (GHPW); higher values were identified in new cases. In general hospitals, one-fifth of the admissions were followed by readmission within 30 days of discharge. For two- thirds of patients continuity of community care was met, and six times out of ten a discharge from a GHPW was followed by an outpatient contact within two weeks. For cases newly taken-in-care the continuity of community care was uncommon, while the readiness of outpatient contacts after discharge was slightly more frequent. Most of the patients received antipsychotic medication, but their adherence to long-term treatment was low. Antipsychotic polytherapy was frequent and the control of metabolic side effects was poor. The variability between regions was high and consistent.The Italian mental health system could be improved by increasing the accessibility to psychosocial interventions, improving the quality of care for newly taken-in-care patients, focusing on somatic health and mortality, and reducing regional variability. Clinical indicators demonstrate the strengths and weaknesses of the mental health system in these regions, and, as HCU databases, they could be useful tools in the routine assessment of mental healthcare quality at regional and national levels.None Declared"}
+{"text": "As of November 2022, over 417 397 confirmed cases and 2631 deaths related to coronavirus disease (COVID-19) were reported in Pacific island countries and areas (PICs). Most PICs have faced challenges accessing therapeutics recommended for the treatment of COVID-19 due to their high demand worldwide and supply chain constraints.The World Health Organization (WHO) coordinates and provides tailored technical and operational support to 21 PICs. Since the start of the pandemic, WHO has worked with partners to establish a mechanism to ensure equitable access to three novel COVID-19 therapeutics for lower-income countries, including 11 eligible PICs.WHO coordinated the requests, procurement and distribution of the three novel therapeutics. In addition, WHO supported PICs by providing trainings in clinical management of COVID-19, developing critical supply needs estimates, and facilitating regulatory approval of clinical therapeutics, including emergency use authorization.The main barriers to procurement of novel COVID-19 therapeutics were identified as prolonged negotiations with licence holders, sourcing funding, the high cost of therapeutics and limited capacity to provide safety monitoring.Uninterrupted supply and availability of essential medicines in the Pacific region is dependent on external and local sourcing. To overcome procurement barriers and ensure access to novel COVID-19 therapeutics in PICs, WHO\u2018s pandemic support to Member States focused on strengthening regulatory requirements, safety monitoring and supply chain activities. The first case of coronavirus disease (COVID-19) in the Pacific was reported in March 2020 in French Polynesia. . , which collectively are home to 3.2 million people spread across an ocean that covers 30% of Earth\u2019s surface. coordinates and provides tailored technical and operational support to 21 PICs Food and Drug Administration (FDA), the European Medicines Agency (EMA), the Therapeutic Goods Administration of Australia, as well as the New Zealand Medicines and Medical Devices and Safety Authority (MEDSAFE). At the time of writing, only tocilizumab, molnupiravir and nirmatrelvir/ritonavir were available for WHO procurement under the emergency use listing. . The webinars covered topics such as indications for use, storage conditions, care pathways, therapeutic management of severe and non-severe cases, and safe and appropriate use, as well as country experiences. Trainers comprised experts and clinicians from WHO DPS, the WHO Regional Office for the Western Pacific, the Australian Therapeutic Goods Administration, the Central and Northern Adelaide Local Health Networks the Royal Alfred Hospital , the University of South Australia , New Zealand MEDSAFE, the WHO Global Outbreak Alert and Response Network, Fiji, the Marshall Islands, FSM and Palau. More than 150 health-care professionals including nurses, medical doctors, pharmacists and health advisers attended the webinars. Attendees represented 12 PICs \u2013 Fiji, Kiribati, the Marshall Islands, FSM, Nauru, Niue, Papua New Guinea, Solomon Islands, Tokelau, Tonga, Tuvalu and Vanuatu. The webinars provided a platform not only for participants to learn lessons from countries such as Australia and New Zealand , but also for neighbouring countries to share information and their experiences of therapeutics and clinical management of COVID-19 cases.In the Pacific, the level of regulatory systems development for medicines is either non-existent or very limited. . and corticosteroids, (Several PICs experienced difficulties in procuring an adequate supply of some essential medicines required for treatment of moderate-to-severe COVID-19, in particular dexamethasone, (In addition to supply chain issues, the COVID-19 pandemic highlighted the limited capacity of PICs to conduct safety monitoring activities for novel therapeutics. Although existing data suggest that newly introduced COVID-19 therapeutics were generally well tolerated, (Finally, the pandemic phase focused attention on the potential risk to public health posed by the general absence of robust quality control and assurance systems for medical products that exist across the Pacific. The identification of batches of falsified COVID-19 therapeutics in countries of neighbouring regions (This report has some inevitable limitations. As it describes the experience of PICs, due to the huge diversity in social systems, health-care provision, economic factors and geography, the findings might not be generalizable to all countries in the Pacific. Likewise, each PIC is unique in its culture and customs, and therefore even within the group of PICs, the responses and lessons learned may not apply universally. Nevertheless, in a field with a paucity of literature, this report not only contributes to new knowledge but also provides some important lessons for countries that share similar characteristics, namely geographical isolation and limited regulatory systems, in terms of the management of future infectious disease outbreaks in which novel therapeutic interventions are required.Throughout the COVID-19 pandemic, WHO DPS, in collaboration with partners, has delivered tailored support to PICs. This support has taken the form of assistance with procurement and emergency use authorization of novel therapeutics; provision of clinical management guidance and technical support; and regulatory system strengthening, in particular building capacity in safety monitoring and quality assurance programmes. Looking ahead, WHO DPS support should continue to be focused on strengthening regulatory requirements, safety monitoring and supply chain activities to ensure access to and implementation of novel COVID-19 therapeutics in all PICs. To ensure sustainable access to quality-assured therapeutics in the event of future pandemics, it will be important to continue to develop methodologies to estimate critical supply needs and demands."}
+{"text": "Studies have explored the correlates of insecticide-treated nets in Nigeria. The few studies that focused on Northern Nigeria mostly examined individual correlates, but largely ignored the community correlates. Also, the persistence of armed insurgencies in the region calls for more research attention. This study examines the utilization and the associated individual and community factors of insecticide-treated nets in Northern Nigeria.The study adopted a cross-sectional design. Data were extracted from the 2021 Nigeria Malaria Indicator Survey (NMIS). A weighted sample size of 6873 women was analysed. The outcome variable was the utilization of insecticide-treated nets. The explanatory variables selected at the individual/household level were maternal age, maternal education, parity, religion, sex of head of household, household wealth, and household size. The variables selected at the community level were the type of place of residence, geo-political zone of residence, the proportion of children under five who slept under a bed net, the proportion of women aged 15\u201349 who heard malaria media messages, and the community literacy level. Two variables, namely, the number of mosquito bed nets in the household, and the number of rooms used for sleeping were included for statistical control. Three multilevel mixed-effect regression models were fitted.The majority of childbearing women (71.8%) utilized insecticide-treated nets. Parity and household size were the significant individual/household characteristics associated with the utilization of insecticide-treated nets. The proportion of under-five children in the community who slept under mosquito bed nets, and the geopolitical zone of residence were significant community correlates of the use of insecticide-treated nets. In addition, the number of rooms for sleeping, and the number of mosquito bed nets in the households were significantly associated with the utilization of insecticide-treated nets.Parity, household size, number of sleeping rooms, number of treated bed nets, geo-political zone of residence, and proportion of under-five children sleeping under bed nets are important associated factors of the utilization of insecticide-treated nets in Northern Nigeria. Existing malaria preventive initiatives should be strengthened to target these characteristics. Anopheles gambiae, Anopheles arabiensis, and Anopheles funestus [The transmission of malaria is endemic in most low-and-middle-income countries \u20133. In Nifunestus \u20136. Globafunestus . In addifunestus , 9. Amidfunestus \u201313, whicThe malaria preventive interventions being implemented seek not only to achieve malaria control but also to ensure the elimination of malaria in the country. These preventive interventions rest largely on the scaling-up of existing preventive initiatives, such as Indoor Residual Spraying (IRS), the universal coverage of Insecticidal-Treated Nets (ITN), and the use of Intermittent Preventive Treatment in pregnancy (IPTp) . EvidencOne key factor that occasioned the lack of universal utilization of malaria preventive interventions in the country is a poor understanding of the associated factors of the preventive interventions. Though, numerous studies have explored the correlates of different malaria preventive interventions in Nigeria and other countries \u201325. HoweOne, armed insurgency, such as the Boko Haram insurgency, destroys existing health facilities by reducing the numbers of healthcare personnel, the availability of essential drugs for malaria treatment, hinders access to appropriate care and makes the practice of preventive measures difficult \u201333. Two,The objective of the study was, therefore, to examine the prevalence and the associated individual and community factors of insecticide-treated nets in Northern Nigeria. The focus is on insecticide-treated nets because among the dominant preventive interventions in Nigeria, it is more widely accessible to Nigerian households, and freely distributed to households during malaria sensitization campaigns , 40. Tho. [The findings in the study will provide additional inputs for developing appropriate strategies to boost the use of insecticide-treated nets in Northern Nigeria. The study was guided by the question: what are the associated factors of the utilization of insecticide-treated nets in Northern Nigeria? The socio-ecological model developed by McLeroy et al. anchored. , 46.https://dhsprogram.com/pubs/pdf/MIS41.pdf. Overall, interviews were completed with 14,476 women aged 15\u201349 in 13,727 households. The individual and household datasets of the 2021 NMIS were merged in the study because some of the variables of interest were not available in the individual dataset. However, some women were excluded from the study. These are women from the southern region, women who do not have a mosquito bed net for sleeping, and women practicing traditional or other faiths, who were excluded due to their insignificant proportion in the population covered. The study thus analysed a weighted sample size of 6,873 women.The study adopted a cross-sectional design. The design entails analysing the 2021 Nigeria Malaria Indicator Survey (NMIS) data to describe the malaria-related characteristics of childbearing women in Northern Nigeria and to examine the possible associations between the characteristics and the use of insecticide-treated nets in the region. The survey was executed by the National Malaria Elimination Programme (NMEP) under the auspices of the Federal Ministry of Health (FMoH), and in collaboration with the National Population Commission (NPC) . The genThe outcome variable in the study is the utilization of insecticide-treated nets. The utilization was measured by asking women whether they slept under a mosquito bed net the night preceding the survey. This yielded a binary response, with \u2018yes\u2019 indicating that the respondent utilized the intervention, and \u2018no\u2019 indicating otherwise. Existing studies have applied this measure to operationalize the utilization of insecticide-treated nets , 48, 49.The explanatory variables were selected at the individual/household and community levels based on findings in existing studies that the utilization of preventive interventions is influenced by different factors operating at different levels of the social environment, particularly at the individual/household, and community levels \u201351. The The variables selected at the community level were the type of place of residence , geo-political zone of residence , the proportion of under-five children in the community who slept under mosquito bed nets , the proportion of women age 15\u201349 exposed to malaria media messages in the community , and community literacy level . These variables have also been identified as important correlates of the utilization of malaria preventive interventions , 50, 57.Statistical analyses were performed at different levels using Stata version 14 . At the Table Respondents from the north-west geo-political zone constitute more than half of the women (54.0%), while women from the north-central geo-political zone were the least sampled (18.8%). The majority of respondents reside in rural areas (72.9%). More than one-third of respondents live in communities with a high proportion of children under 5 sleeping under a mosquito net compared to those who reside in communities with either a low or moderate proportion of under 5 children who slept under a mosquito bed net. The proportions of low, medium, or high exposure to media messages about malaria were similar in the communities although the proportion residing in communities with moderate exposure was higher among the respondents (34.8%). The proportion of respondents who reside in communities with low literacy levels was higher among the sampled women (35.7%). Nearly half of the respondents live in households with two or fewer mosquito bed nets (47.3%). Likewise, more than two-fifths of the respondents live in households that possessed three to five mosquito bed nets. The households of the majority of respondents had three or fewer rooms for sleeping (67.6%).Table The association between the proportion of under-five children who slept under a bed net in the community and the use of insecticide-treated nets by childbearing women was positive, with a consistent rise in the level of use as the proportion of children who slept under a bed net in the community increased. In contrast, the proportion of reproductive-age women exposed to media messages about malaria reveals a mixed association with the use of insecticide-treated nets. Likewise, community literacy levels had a mixed association with the utilization of insecticide-treated nets. At the low and moderate literacy levels, a slight rise in the level of utilization was observed, but a dip occurred at the high literacy level. The geopolitical zone of residence had a positive association with the use of insecticide-treated nets, with a higher level of use observed in the northeast zone. A higher level of use of insecticide-treated nets was observed in the rural areas compared to the urban areas showing a significant positive association. A significant positive association was observed between the number of mosquito bed nets and their utilization, while the number of rooms used for sleeping was negatively associated with the use of insecticide-treated nets. All the variables showed a VIF value of less than ten and were selected for the multilevel modeling. However, religion, sex of the head of household, and proportion of women exposed to media messages about malaria were excluded having shown no statistical significance at the bivariate level.Table In Model 2, higher parity remained significantly associated with higher odds of the use of insecticide-treated nets, while a large household size remained significantly associated with lower odds of the use of insecticide-treated nets. Other individual/household characteristics revealed no statistical significance. Two community-level characteristics, namely, the proportion of under five children who slept under a mosquito bed net in the community and geopolitical zone of residence were significantly associated with the utilization of insecticide-treated nets. However, the proportion of variation in the use of insecticide-treated nets attributable to the community factors dropped compared to the proportion in Model 1 (ICC\u2009=\u20090.216).In the full model (Model 3), on one hand, two individual/household characteristics, namely, parity and household size, were significantly associated with the use of insecticide-treated nets. On the other hand, two community characteristics, namely, the proportion of under-five children who slept under a mosquito bed net in the community and the geopolitical zone of residence were significant correlates of the use of insecticide-treated nets. As parity was increasing, the odds of utilizing insecticide-treated nets also increased consistently. Childbearing women living in large-sized households were associated with lower odds of utilizing insecticide-treated nets . As the proportion of under-five children who slept under mosquito bed nets in the community increased, the odds of utilizing insecticide-treated nets by childbearing women consistently increased. The odds of utilizing insecticide-treated nets were higher in the northeast zone and northwest zone compared to the northcentral zone. Also, an increasing number of mosquito bed nets in households was associated with higher odds of their utilization. In contrast, increasing the number of rooms for sleeping in households was associated with lower odds of utilizing insecticide-treated nets.The study examined the prevalence and associated factors of the utilization of insecticide-treated nets in Northern Nigeria. The study found a utilization level lower than the observed average for the region in a recent Nigerian study . HoweverThe study further revealed that some individual/household and community characteristics are important correlates of the utilization of insecticide-treated nets. One, gender matters in the utilization of insecticide-treated nets. It is reasoned that since more females compared to males use malaria preventive interventions , women aThree, community contexts are source of variations in the level of use of insecticide-treated nets, though not in a substantial proportion. These community factors include the geo-political zone of residence and the proportion of under-five children in the community who slept under treated bed nets. The geopolitical zone of residence, particularly being residents in the states in the northeast and northwest zones was found to the drive utilization of insecticide-treated nets in line with findings in two recent studies , 51. ThiThe paper assessed the prevalence and correlates of the utilization of insecticide-treated nets in Northern Nigeria based on data extracted from a nationally representative survey. The study revealed that the utilization of insecticide-treated nets was not universal among childbearing women in the region and that some individual-level and community-level characteristics were associated with the utilization of insecticide-treated nets. Improving the level of utilization in the region requires targeting more individual characteristics of childbearing women, as well as embarking on more community engagements to amplify governments and non-government strategies to boost utilization of malaria preventive measures."}
+{"text": "In Egypt, academic organizations, professional societies, and research groups develop clinical practice guidelines (CPGs) in order to improve patient quality care and safety. Although important improvements have been made over the past years, many of these consensus-based guideline documents still lack the transparency and methodological rigor of international standards and methodologies recommended by reference evidence-based healthcare and guideline organizations like the Guidelines International Network.In the Egyptian Pediatric Clinical Practice Guidelines Committee (EPG), we have adopted one of the CPG formal adaptation methodological frameworks named the \u2018Adapted ADAPTE\u2019, relevant CPG resources , and involved key stakeholders including clinical and healthcare topic experts and guideline methodologists in producing 32 trustworthy national evidence-based CPGs and one protocol customized to the healthcare context and services provided for Egyptian children. An EPG online website was launched to make these CPGs available and accessible as CPG summaries for pediatricians and relevant healthcare providers.The lessons learned, enablers, challenges, and solutions relevant to Egyptian National Pediatric CPGs identified in this paper could be used to address and enrich the debate on pediatric high-quality CPGs, especially for countries of similar contexts and systems.The online version contains supplementary material available at 10.1186/s42269-023-01059-0. Clinical practice guidelines (CPGs) are statements that include recommendations for improving patient care. A systematic review of evidence and an assessment of the benefits and costs of alternative care options inform these statements (Institute of Medicine (US) Committee on Standards for Developing Trustworthy Clinical Practice Guidelines High-quality evidence-based CPGs are known to support the clinical decisions of relevant healthcare providers and to improve patient outcomes and adaptation (when there are existing and published one or more eligible CPGs) (and the former ADAPTE Collaboration) as \u201cthe systematic approach to the modification of a guideline(s) or recommendation(s) produced in one cultural and organizational setting for application in a different context. Adaptation may be used as an alternative to de novo guideline development existing guideline/s to suit the local context)\u201d ], CPG tools , or CPG standards . Yao et al. reportedWang et al. coined tTo date, there have been several institutional and national CPG adaptation initiatives in the Eastern Mediterranean Region. One of the early CPG formal adaptation methodological frameworks that were applied in the Arab Republic of Egypt was the ADAPTE and one of its modified versions: The \u2018Adapted ADAPTE\u2019 , 9 modules, and 24 steps. The \u2018Adapted ADAPTE\u2019 was proposed by the founding members of the Alexandria Center for Evidence-Based Clinical Practice Guidelines at Alexandria University, Egypt and it included the same overall framework of the original ADAPTE in addition to 3 modified tools, 3 new tools, and 4 alternative steps was established and conducted several strategic planning meetings and discussions and launched the first pediatric national CPG program with the Supreme Council of Egyptian University Hospitals marks the first national and collaborative initiative for the generation of Pediatric CPGs using an evidence-based methodology in Egypt.After the foundation of the EPG under the auspices of the Supreme Council of Egyptian University Hospitals and the Armed Forces College of Medicine, it added 5 EPG subcommittees for (i) strategic planning, (ii) CPG advisory (methodology), (iii) implementation, (iv) publication and research, and (v) quality control.The strategic plan for national pediatric evidence-based CPGs included: (i) identifying the national healthcare priorities in the field of pediatrics and child health; (ii) identifying a scientifically rigorous and evidence-based methodology for CPGs; and (iii) scope of function, roles, and responsibilities of the members of the EPG and the subspecialty CPG groups.The EPG decided to use the CPG adaptation methodology, specifically the \u2018Adapted ADAPTE\u2019 methodological framework. The Adapted ADAPTE CPG adaptation process is summarized in Fig.\u00a0The founding members reached out and recruited representative faculty staff from the Departments of Pediatrics of 14 Egyptian Universities and one National Research Centre, including, in alphabetical order, the faculties of medicine at the universities of Ain Shams, Al-Azhar, Alexandria, Assiut, Benha, Cairo, Helwan, Mansoura, Menoufia, Minia, October 6, Port Said, Suez Canal, and Zagazig, as well as the Ministry of Health with a clinical lead and several contributors from multiple universities in the same subspecialty (in contrast to the known term Guideline Development Group or GDG that is saved for groups that use the de-novo development methodology), and (2) The External Review Group (or ERG).The CPG adaptation project involved the collaboration of two main distinct and independent groups: (1) The Each GAG was divided into two subgroups: (i) The Clinical expert subgroup, which includes the Clinical lead of the GAG and its members nominated by the related EPG Pediatric subspecialty group with the EPG Chairman, and (ii) The CPG Methodology supervision subgroup that includes faculty staff and pediatricians with expertise as CPG Methodologists and working experience with the Adapted ADAPTE.Most members of the EPG CPGs\u2019 GAGs and ERGs are staff of Egyptian Universities, University Hospitals, National Research Centres, the Ministry of Health, or their clinical and methodological networks. They have contributed to the EPG CPG projects on a voluntary basis not related to or funded by any pharmaceutical company, industrial body, or research grants. Some members of the ERGs were international clinical or methodological experts. The declaration of the conflict of interests of all contributors was transparent.The recruitment process for EPG members was open to any interested child healthcare provider primarily pediatricians and others like clinical pharmacists, and nurses as relevant to the specific health topics representing university hospitals and different healthcare sectors and facilities in Egypt.The EPG has completed five waves of parallel CPG adaptation projects from 2018 to date that has produced 32 adapted national Evidence-Based CPGs for high-priority pediatric health topics in Egypt, in addition to a consensus-based national protocol for COVID-19 (including four versions so far) and other social media networks.Furthermore, as faculty teaching staff, chairpersons of pediatrics or child healthcare departments, senior consultants, or directors in their institutions, EPG members represent clinical and quality champions supporting CPG implementation. Detailed post-implementation findings for each CPG health topic will be reported individually.The EPG has future plans to evaluate the success of uptaking and implementing its CPGs in real pediatric practice and evaluate their accessibility to the relevant healthcare providers and target users through interventions like (i) Knowledge, Attitude, and Practices (KAP) surveys, (ii) audit and feedback, and (iii) Plan-Do-Check-Act (PDCA) Quality Improvement Cycles.Despite the fact that the COVID-19 pandemic posed challenges to education, research, and other projects and services, the EPG different GAG clinical and methodology members expressed great enthusiasm and resilience by shifting all of the face-to-face meetings and activities to online Zoom meetings and a set of WhatsApp groups for each GAG in addition to the main EPG group was recently established in 2018 as part of the Universal Health Insurance System in Egypt. GAHAR published seven handbooks of accreditation standards covering different healthcare services throughout which it recommended adherence to CPGs, protocols, and policies and procedures .Lack of financial support dedicated to developing, disseminating, and implementing National CPGs to cover costs like design and printing and article processing fees for CPGs and other potential implementation resources such as National CPGs\u2019 website or database maintenance and CPG mobile Apps.There is lack of a national agreement on the process of development, adaptation, official approval, Implementation, revision and update, and auditing of National Guidelines in Egypt.There is no national body or center assigned to develop, revise, evaluate, validate, and/or officially approve National Guidelines in Egypt similar to the examples of the National Evidence-Based Medicine Center of the Saudi Health Council in Saudi Arabia, the Ministry of Public Health in Qatar, the National Authority for Assessment and Accreditation in Healthcare in Tunisia, the National Institute for Health and Care Excellence (NICE) in the United Kingdom, and the National Health and Medical Research Council (NHMRC) in Australia , Curative Care Organization (CCO), Teaching hospitals and institutes organization (THIO), Health Insurance Organization (HIO), Ministry of Higher Education (MOHE) , and Ministry of Defense (MoD) and Ministry of Interior (MoI). The private sector has the Private medical insurance, Household out-of-pocket payments, and Non-Governmental Organizations. This pluralistic healthcare system poses great challenges to implementing National Guidelines in Egypt. Universal health insurance (UHI) is a new entity established to provide Universal Health Insurance services for all Egyptians and is expected to address some of these barriers Saleh .There is lack of integration and collaboration with relevant national initiatives like the Health Technology Assessment (HTA) Institutionalization by The Egyptian Authority for Unified Procurement, Medical Supply and the Management of Medical Technology (UPA) in collaboration with NICE International and the National Egyptian Network Pediatric Stroke and Hemiplegia Registry (NENPSHR), there is a lack of relevant national registries for other high-priority pediatric health topics that in turn disable our estimates for diagnostic and management difficulties in these topics with the CPG evidence-based recommendations as they fear that CPGs adherence may limit their clinical autonomy, flexibility and individualized approach and the International Network of Agencies for Health Technology Assessment (INAHTA)].Collaborate with similar national guidelines centers in the Eastern Mediterranean Region to build capacity and exchange experiences with consideration of the similarities and differences between the health systems.Integrate the EPG CPGs into the GAHAR Accreditation Standards that are related to child healthcare services and facilities.Integrate formal training, modules, and courses of evidence-based healthcare and CPG tools and skills into the curricula of undergraduate and postgraduate students of Health Colleges and Faculties like Medicine, Pharmacy, Nursing, etc. [a good example is the recently launched International Guideline Development Credentialing & Certification Program (or INGUIDE)] INGUIDE .Integrate and align relevant national initiatives to achieve the balance between clinical evidence through CPGs and economic evidence through HTAs (Mason et al. We are, on behalf of the EPG, proposing the following recommendations and solutions to address the aforementioned barriers to National Pediatric CPGs in Egypt and to open them for discussion in countries of similar contexts and systems:The lessons learned enablers, challenges, and solutions relevant to Egyptian National Pediatric CPGs identified in this paper could be used to address and enrich the debate on pediatric high-quality CPGs, especially for countries of similar contexts and systems.Additional file 1. Recognition and Honor List."}
+{"text": "For many years, the central nervous system (CNS) was thought to be immune-privileged due to the presence of the blood-brain barrier (BBB) and the absence of lymphatic vasculature. However, recent studies have uncovered the intricate interactions between the CNS and the immune system. In particular, microglia\u2013resident immune cells in the brain\u2013share developmental origins and functions with monocytes in the immune system, playing crucial roles in monitoring and modulating neuronal activity produced by the choroid plexus in the brain can enter the cervical lymph nodes and cranial bone marrow via the dura lymphatic system inhibits inflammatory signaling pathways and promotes anti-inflammatory polarization of microglia in ischemic rats.To date, rehabilitation is a widely used and effective treatment for brain injury in the clinic. Rehabilitation programs include stimulation with electricity, magnetism, light, and heat on the CNS and peripheral nervous system (PNS), along with physical therapy, virtual reality, motion imagination, and so on. Although the neuroprotective mechanism of rehabilitation involves multiple targets and multiple factors, inflammatory regulation is its pivotal process. Transcranial-direct-current-stimulation (TDCS) can decrease microglial activation and reduce the release of pro-inflammatory cytokines in experimental stroke models , which can proliferate, migrate, and differentiate into neural cells, can take part in nerve repair and neural plasticity by replacing the injured neural cells (Liu et al., Overall, neuroimmune communication is correlated with the physiological functions of various tissues and organs and the internal environmental balance. Dysregulation of neuroimmune communication homeostasis is both the underlying pathological mechanism and the potential therapeutic target in brain injury. A thorough clarification of the cellular and molecular mechanisms of neuroimmune communication in brain injury is an essential and necessary endeavor in the search for new therapeutic targets for this type of disorder.All authors listed have made a substantial, direct, and intellectual contribution to the work and approved it for publication."}
+{"text": "Acute exacerbations of chronic bronchitis (AECB) are recurrent and potentially severe medical events for the 13 million people in the United States who have chronic bronchitis. Medical resource use associated with AECB can have a substantial economic impact on the patients, health care system, and society overall.To evaluate literature on the economic impact of AECB in terms of cost of illness, cost of treatments, and cost-effectiveness.A MEDLINE literature search was conducted for studies of chronic bronchitis and costs. Reference lists of identified articles were also retrieved for review.Eight published studies were identified: 2 cost-of-illness studies, 1 comparative cost study, and 5 cost-effectiveness studies. Important drivers of costs associated with AECB include hospitalization and choice of antibiotics. In mild to moderate AECB, patient adherence with therapy is essential to consider when selecting treatment. The antibiotic with the lowest acquisition cost has not been shown to be the most cost effective, as adherence and clinical outcomes, particularly re-hospitalization rates, differ.Further research in these areas is needed to guide clinical decision making and the conduct of disease management programs."}
+{"text": "Dear Editor,A Caucasian woman, 54 years old, Fitzpatrick phototype II, complained of a painful lesion on the right malar region, with rapid growth and aggressive behavior, which had appeared three months before. The patient lived in a rural area and worked in agriculture, referring chronic sun exposure due to her working conditions. When questioned, she denied history of trauma at the site of the lesion, previous skin cancer, immunosuppression, and exposure to artificial radiation. Dermatological examination showed an infiltrated and painful erythematous plaque with exudation, crusts, ulceration, and telangiectasias in the malar region extending to the right nasal ala . Skin daThe immunohistochemical analysis showed positivity for cytokeratin 5/6 and p63; and was focally positive for BerEp4, EMA, and factor XIIIa; with negativity for adipophilin, androgen receptor and CEA , confirmCutaneous squamous cell carcinoma (SCC) is classified into many subtypes, with a wide range of clinical manifestations ranging from indolent growth to aggressive tumors with significant metastatic potential.Cutaneous clear-cell SCC is a rare neoplasia the etiology of which is still incompletely understood. This variant was described in 1980 by Kuo.SCC usually manifests itself on photo exposed areas of elderly Caucasian men with a history of chronic sun exposure and multiple skin neoplasms.Clear-cell SCC can be classified into three variants: keratinizing (type I), non-keratinizing with no connection to the epidermis (type II), and pleomorphic (type III).On histopathology, the atypical clear cells showed evident nuclear pleomorphism, squamous differentiation foci, and areas of acantholysis, with some dyskeratotic cells amidst pseudo glandular spaces.It is difficult to define the prognosis of this rare variant, as few cases were published in the literature up to 2022. Cohen et al. (2008) suggested that human papillomavirus (HPV) infection may be associated with tumor oncogenesis, but only two reported cases were associated with this virus.In conclusion, the present study describes the atypical case of a 54-year-old woman with a facial neoplasm compatible with clear cell SCC, histopathologically mimicking sebaceous carcinoma. Both dermatologists and dermatopathologists must be aware of the peculiarities of this SCC variant, which grew fast and was quite aggressive in the present report.None declared.Emily Neves Souza: Design and planning of the study; drafting and editing of the manuscript; collection, analysis, and interpretation of data; critical review of the literature; critical review of the manuscript.Lucia Martins Diniz: Design and planning of the study; effective participation in research orientation; intellectual participation in the propaedeutic and/or therapeutic conduct of the studied case; critical review of the literature; critical review of the manuscript; approval of the final version of the manuscript.Luana Amaral de Moura: Design and planning of the study; drafting and editing of the manuscript; collection, analysis, and interpretation of data; critical review of the literature.Alexandre Calegari Oliosi: Design and planning of the study; drafting and editing of the manuscript; collection, analysis, and interpretation of data; critical review of the literature.Marcela Sc\u00e1rdua Sabbagh de Azevedo: Design and planning of the study; drafting and editing of the manuscript; collection, analysis, and interpretation of data; critical review of the literature.M\u00e1rgya Neves Souza: Design and planning of the study; drafting and editing of the manuscript; collection, analysis, and interpretation of data; critical review of the literature.None declared."}
+{"text": "Obsessive-compulsive and related disorders (OCRDs) constitute a group of psychiatric conditions characterized by obsessive thoughts and/or compulsive behaviors. In DSM-5, the section on OCRDs is narrowly defined, including obsessive-compulsive disorder (OCD), body dysmorphic disorder (BDD), hoarding disorder (HD), trichotillomania (TTM) or hair-pulling disorder, and skin-picking (excoriation) disorder (SPD) . The ICDWhile significant progress has been made in understanding these underrecognized disorders, there are still aspects not yet fully understood. This Research Topic in Frontiers in Psychiatry aimed to shed light on the current state of knowledge on OCRDs in general community and clinical samples of all ages. This Research Topic presents nine manuscripts, including a brief research report, a clinical trial, several original research papers, and a systematic review, from experts worldwide.Strappini et al. investigated the therapeutic alliance as a component of treatment in OCD. Their systematic review and meta-analysis provided evidence of an interactive effect between the therapeutic alliance and outcomes of cognitive behavior therapy (CBT) in patients with OCD. They recommended that future studies should focus on refinement of the temporal assessment of the alliance, in larger samples, and measurement of other interacting variables, to enrich the current understanding of therapeutic change factors that could benefit evidence-based treatment.Liao et al. provided evidence of satisfactory psychometric properties of the Family Accommodation Scale Self-rated version (FAS-SR) in a large group of patients with OCD and relatives, suggesting that this scale can assist in the evaluation and treatment of OCD.In addition to the therapeutic relationship, the relationship between OCD and family dynamics has also attracted increasing attention from researchers. The concept of family accommodation (FA) refers to family members' participation in patients' rituals and accommodating their compulsions to alleviate their anxiety. Addressing FA is an important part of the treatment plan. Hollmann et al. demonstrated the effectiveness of internet-based CBT in German children and adolescents with mild to moderate OCD.CBT including exposure exercises with response prevention (E/RP), is the established treatment of choice for OCD. However, there are many barriers to accessing CBT, including lack of availability, lack of experience of service providers, and financial and time constraints. Internet-based psychotherapy could help overcome some of these barriers and Wang et al. explored the moderating effect of executive functioning on the relationship between anxiety and compulsive checking in adults with OCD. The study suggested that anxiety symptoms play a negligible role in explaining compulsive checking in individuals with OCD with relatively strong visuospatial working memory ability, but a substantial role in explaining compulsive checking in individuals with relatively weak visuospatial working memory. These findings encourage further research regarding how cognitive vulnerability factors of OCD and emotional factors interact to induce or maintain different OCD symptoms, providing additional insights into the mechanisms underpinning OCD.Changing direction from investigations of treatment to the mechanisms underpinning OCD, Kang et al. used survey to investigate BDD and depression in male university students in Malaysia. The study found that a significant proportion exhibited symptoms of BDD and depression, with BDD concerns mainly related to dissatisfaction with their height, which significantly correlated with the severity of depressive symptoms. This study responds to the quest for more research on the epidemiology of mental disorders among male adolescents, and highlights the importance of better support services.Addressing the paucity of research on, and low treatment rates of, mental illnesses in men, Brennan et al. used a qualitative approach to explore the lived experiences of individuals with BDD (In press). Three themes were identified: being consumed by the disorder, the flawed self, and intolerance of uncertainty about appearance, and were discussed in relation to the cognitive-behavioral model.In another contribution to this Research Topic on OCRDs, Aquino and Lins investigated the association between problematic buying/shopping with the Big Five's personality factors, during the COVID-19 pandemic, using an online survey of Portuguese adults. Regression analysis revealed significant correlations between various instances of buying/shopping, such as impulsive buying, compulsive buying, and panic buying, and some of the Big Five traits, highlighting the potential for improved understanding of these traits to inform preventive measures and effective treatment approaches.Rocha et al. conducted a survey on the association between early maladaptive schemas (EMS) and compulsive and impulsive buying in young adults from Portugal. They found the overvigilance and inhibition schema was the main predictor of both impulsive and compulsive buying and that impaired limits was negatively associated with these tendencies. Coping mechanisms within this context were also explored.Both aforementioned studies contribute to the conceptualization and study of problematic buying/shopping tendencies in populations other than Western, Educated, Industrialized, Rich, and Democratic (WEIRD) samples.Di Ponzio et al. reported on the positive effects of high-frequency repetitive transcranial magnetic stimulation (rTMS) over the left DLPFC in Italian individuals with OCRDs, including SPD, TTM and HD. This study suggests that this rTMS protocol is a promising treatment option for OCRDs and highlight common circuits involved in these disorders.In conclusion, the manuscripts included under this Research Topic cover a diverse range of themes, from the mechanisms underlying OCRDs, to the quest for personalized treatment approaches across the lifespan, while also addressing the misconception that these disorders are merely bad habits. The authors emphasized the need to further elucidate the etiologies and lifespan trajectories of OCRDs, as well as the development of eHealth treatment approaches. Nonetheless, this initiative demonstrates the progress made through global efforts, employing rigorous methodological standards, which can enhance clinical practice in addressing the unmet needs of patients throughout their lifetime.CL: Writing\u2014original draft, Writing\u2014review and editing. KP: Writing\u2014review and editing. EG: Writing\u2014review and editing."}
+{"text": "Axial spondyloarthritis (axSpA) is a subtype of SpA that mainly affects the sacroiliac joints and the spine. One of the hallmarks of axSpA is radiographic progression, which refers to the progressive structural damage seen on imaging tests. Radiographic progression is associated with increased disability, quality of life, and higher healthcare costs . The datKhmelinskii et al. reviewed the role of various imaging modalities in the diagnosis, classification, and monitoring of axSpA. They highlighted the advantages and limitations of X-rays, MRI scans, computed tomography (CT), and ultrasound, and discussed the use of various scoring systems, such as the modified Stoke Ankylosing Spondylitis Spine Score (mSASSS), the Berlin MRI score. They concluded that a combination of imaging tests and clinical assessments is necessary for accurate and timely diagnosis and monitoring of axSpA, and that new imaging techniques and biomarkers are promising avenues for future research.The diagnosis of axSpA is based on a combination of clinical features, laboratory tests, and imaging findings. Imaging techniques play a crucial role in detecting and monitoring the spinal and sacroiliac joint inflammation and structural damage in axSpA. Kang et al. used group-based trajectory modelling and decision trees to identify the patterns and predictors of radiographic progression in patients with ankylosing spondylitis (AS). They classified the patients into four distinct trajectory groups based on the mSASSS scores over 10 years of follow-up: no progression, slow progression, moderate progression, and rapid progression. They found that male sex, older age, longer disease duration, elevated C-reactive protein (CRP), and higher baseline mSASSS scores were associated with a higher risk of radiographic progression. They also developed decision trees that showed the most important predictors of each trajectory group. This study provides valuable insights into the heterogeneity of radiographic progression in AS/r-axSpA and the potential for personalized risk prediction.Radiographic progression is a major concern in the management of axSpA, as it can lead to irreversible structural damage and functional impairment. Therefore, identifying the predictors of radiographic progression is an important research area. Lee et al. investigated the impact of pregnancy on radiographic progression in 36 women with r-axSpA using CT scans of the spine and sacroiliac joints before and after pregnancy. They found that pregnancy did not significantly affect radiographic progression, as measured by the mSASSS and New York criteria scores. They also observed a trend towards decreased inflammation scores during pregnancy, suggesting a potential beneficial effect of pregnancy on disease activity. However, this study has some limitations, such as the small sample size, the lack of a control group and the imaging technique (CT) adopted.AxSpA disease onset is frequently observed in childbearing age. Therefore, pregnancy can affect the course and outcome of axSpA. Nam et al. explored the impact of smoking status on radiographic progression in patients with AS/r-axSpA who received tumor necrosis factor inhibitors (TNFi) treatment. They found that current smokers had a higher risk of radiographic progression, as measured by the mSASSS scores, than former or never smokers. They also observed that current smokers had lower serum TNFi levels and higher CRP levels than non-smokers, indicating a possible mechanism for the detrimental effect of smoking on treatment response and radiographic progression. This study highlights the importance of smoking cessation in the management of axSpA.Smoking is a well-known risk factor for radiographic progression in axSpA . Unlike In conclusion, radiographic progression in axSpA is a complex and multifactorial process that affects the spine and sacroiliac joints and the articles in this topic show crucial role of imaging in the diagnosis and classification, the effect of smoking and pregnancy on radiographic progression and help to predict prognosis in patients with AS. Additionally, recent studies have identified several risk factors and predictors of radiographic progression, such as male sex, older age, longer disease duration, elevated CRP, and smoking. These findings have important implications for the personalized management of axSpA and the development of new therapeutic strategies. This topic also shows more research is required and future research may focus on the validation and implementation of imaging biomarkers and scoring systems, as well as the exploration of novel treatment targets and approaches.FP-S and NA drafted the manuscript. All authors reviewed and approved the editorial."}
+{"text": "AlGhamdi The authors regret the omission of two of the authors, Sheta M. Sheta and Said M. El-Sheikh, from the original manuscript. The corrected author list is as shown above.The authors regret that the funding information was incorrectly shown in the acknowledgements section of the original manuscript. The corrected funding acknowledgement is as shown below:The authors extend their appreciation to the Deanship of Scientific Research at Northern Border University, Arar, KSA for funding this research work through the project number NBU-FFR-2023-0051.The Royal Society of Chemistry apologises for these errors and any consequent inconvenience to authors and readers."}
+{"text": "The World Health Organization has called on economic operators to \u201csubstitute, whenever possible, higher-alcohol products with no-alcohol and lower-alcohol products in their overall product portfolios, with the goal of decreasing the overall levels of alcohol consumption in populations and consumer groups, while avoiding the circumvention of existing regulations for alcoholic beverages and the targeting of new consumer groups with alcohol marketing, advertising and promotional activities\u201d (see ).As Anderson et al. discuss, lower-strength alcohol products can be split into two groups: (i) specifically produced no-alcohol products; (ii) existing products reformulated to contain less alcohol . Across When considering the public health impact of non-alcoholic products, one of the difficulties relating to monitoring and evaluation is the differing definitions across jurisdictions . To resoAs reviewed by Anderson et al. , and speFurther analyses of Spanish household data found that decreases in the ABV of existing beers and wines had a much greater impact in reducing purchases (in grams) of all alcohol than the relatively small increases in purchases of no-alcohol beers and wines . AnalyseWith respect to the health impact, it has been questioned whether people with severe alcohol problems safely switch to consuming no-alcohol products. On the one hand, as noted in the review by Anderson et al. , survey Rehm et al. undertook a modeling study to estimate the population-level health impact achieved by the current introduction of no- or low-alcohol beverages in Great Britain and Spain, and the impact of reducing the ABV of all alcohol products by a relative 10% amongst France, Germany, Italy, Poland, Spain, and United Kingdom . They foThrough addressing the product, reducing the ABV is only one of several innovative policy approaches. An alternative approach is to reduce serving sizes. The narrative review of Mantzari & Marteau found that reducing the size of servings, glasses, and bottles of wine could reduce wine consumption across populations .Nutt and colleagues proposed an even more novel approach: developing functional drinks that do not use alcohol yet mimic the positive, pro-social effects of alcohol without the associated harm .In conclusion, the introduction of no-alcohol products has health benefits for individual consumers, but very limited benefit at the population level due to very low levels of consumption; reformulation of existing products to contain less alcohol could, if realized across all products with a 10% relative reduction in ABV, have a substantial population-level impact, reducing the harm caused by alcohol. Alcohol producers should respond to the World Health Organization\u2019s call for substitution by reducing the alcoholic strength of all their products forthwith. Governments can promote substitution by increasing taxes on alcohol products, with harmonization of taxes per gram of alcohol and taxes rising per ABV of the product; were the tax rises much steeper at very low levels of ABV, this would also promote increased demand for and consumption of no-alcohol products (see )."}
+{"text": "The globalization of the food market has created a pressing need for food producers to meet the ever-increasing demands of consumers while ensuring adherence to stringent food safety and quality standards . The comIn response to these challenges, the field of food analysis has witnessed remarkable advancements through the utilization of advanced spectroscopic techniques. These cutting-edge methods, including X-ray-based approaches, hyperspectral and multispectral imaging, NMR, Raman, IR, mass, UV, visible, and fluorescence spectroscopy, offer non-destructive, rapid, solvent-efficient, eco-friendly, and cost-effective alternatives to conventional methods . LeveragIt is with great pleasure that we present this Special Issue, which focuses on recent developments and applications of advanced spectroscopic techniques in food analysis, quality evaluation, safety assessment, and practical industrial implementations, with a specific emphasis on chemometric approaches. The collection of papers included in this Issue offers a valuable insight into the diverse range of research and applications in this field, shedding light on the potential of these techniques to revolutionize food analysis.The accepted papers cover a broad spectrum of topics within the scope of this Special Issue. The first paper presents a comprehensive review of the current applications of advancing spectroscopy techniques in food analysis, focusing on the data handling aspect with chemometric approaches . This reFritillaria thunbergia [Furthermore, one paper details an innovative application of laser-induced breakdown spectroscopy coupled with variable selection algorithms and chemometrics for the detection of heavy metals in unbergia . Anotherunbergia . Additiounbergia .In another study, the discrimination of Brazilian stingless bee honey based on its iron-based biogeographical origin is investigated, showcasing the applicability of discriminant analysis in ensuring the authenticity and traceability of food products . The quaAdditionally, the effect of moisture content on the analysis of quality attributes of red pepper powder is explored using a hyperspectral system, providing valuable insights into the impact of moisture on food analysis outcomes . MoreovePrunus genus by botanical origin and harvest year based on carbohydrates profiles is investigated, shedding light on the application of spectroscopic techniques for the authentication of botanical products [Salvia botanicals are explored using GC/Q-ToF and chemometrics, providing crucial insights into the identification and characterization of herbal products [Furthermore, the classification of products . The cheproducts .Lastly, the detection of pesticide residue levels in grapes is studied using hyperspectral imaging and machine learning, illustrating the potential of these techniques for ensuring food safety .In conclusion, this Special Issue brings together a collection of research papers that highlight the immense potential of advanced spectroscopic techniques in the field of food analysis and quality evaluation. By presenting a range of innovative applications, these studies demonstrate the power of these techniques to enhance food safety, authenticity, and overall quality. We hope that the papers in this Special Issue provide valuable insights, inspire further research, and encourage the adoption of advanced spectroscopic techniques in the food industry."}
+{"text": "Nanomaterials proudly presents a Special Issue titled \u201cState-of-the-Art 2D and Carbon Nanomaterials in France\u201d, showcasing the groundbreaking research from some of the most eminent researchers in the field. The various publications cover a wide range of topics, including the synthesis, characterization, and applications of various carbon-based nanomaterials. These contributions shed light on the significant progress made in this area and collectively offer valuable insights into the current state and prospects of nanomaterial research in France.Nanotechnology has revolutionized various industries by enabling the manipulation and fabrication of materials at the nanoscale. In the realm of nanomaterials, 2D materials and carbon nanomaterials have emerged as frontrunners, promising a plethora of applications ranging from electronics to energy storage. France, with its rich scientific heritage, has been at the forefront of nanomaterials research, and the journal One of the key areas of focus in this issue concerns the synthesis of vertically aligned carbon nanotubes (VACNTs), wherein researchers in France have made noteworthy contributions and their insights have the potential to revolutionize the applications and production of VACNTs. By exploring various factors such as carbon source content , Fe/C raFurthermore, within the realm of carbon nanomaterials, this issue presents cutting-edge research exploring the world of curved polyaromatic hydrocarbons, known as carbon nanobelts. Employing laser-induced vaporization and ionization techniques, scientists have investigated collision impacts between species, leading to mass loss and the formation of new circular strained dehydrobenzoannulene species . These fAnother exciting contribution to this issue is the exploration of germanane, a two-dimensional material with stacks of atomically thin germanium sheets. The study focused on improving germanane\u2019s electrical transport properties to develop atomic-scale devices . The res2/graphene hetero-bilayer by varying the twist angle [2 monolayers, including the tunable WS2 spin-orbit splitting, offering new avenues for controlling the band dispersion of van der Waals materials. The insights gained from this research offer exciting opportunities for designing novel electronic devices and uncovering previously unexplored physical phenomena, holding immense potential for the electronics industry and future technological advancements.The potential of hetero-bilayer structures, where strain and spin-orbit coupling can be engineered, is also explored in this Special Issue, revealing exciting possibilities for tuning electronic band structures in van der Waals materials. Scientists have investigated the band structure of the WSst angle . Their wAdditionally, this issue includes research on the transfer process of monocrystalline graphene and its influence on the quality, morphology, and electrical properties of the transferred graphene . The con2 and KOH-based approaches, to enhance CO2 adsorption capacity [2 adsorption performance, showcasing the potential for efficient CO2 capture using activated graphene. This research highlights the significance of activation techniques in enhancing the surface and porosity of carbon nanomaterials, opening up potential carbon dioxide capture applications. Such advancements are critical in addressing environmental challenges and exploring sustainable energy solutions.Moreover, this Special Issue delves into the activation of graphene oxide, using COcapacity . These aIn addition, the exploration of hydrogen storage in nanoporous carbons holds promise for unlocking the potential of hydrogen-based energy systems. A review in this Special Issue explores the possibilities of nanoporous carbons for effective hydrogen storage by physisorption, highlights the current limitations, and proposes strategies to improve storage performance, including chemical modifications of carbon pore walls . PrelimiFinally, the complex structure and extraordinary properties of glass-like carbon (GLC), a vitreous material with exceptional properties that remain relatively unexplored, are discussed. By reviewing different models and a physical route involving pulsed laser deposition, the author outlines our understanding of GLC structure, topology, and geometry . The anaTo summarize, the contributions in this issue cover a wide range of topics, including the design of novel materials, the development of new synthesis methods, and the characterization of the properties of nanomaterials. French researchers have been at the forefront of advancing the understanding of carbon-based nanomaterials, such as carbon nanotubes and fullerenes, exploring their unique electronic, optical, and mechanical properties.One of the most exciting aspects of the research highlighted in this issue is its potential for real-world impact. For example, the development of 2D materials with tailored properties could lead to breakthroughs in electronics and photonics, while the use of carbon-based nanomaterials in energy storage devices could help to address the growing demand for renewable energy. Additionally, the biocompatibility of these materials makes them promising candidates for use in biomedical applications such as drug delivery and biosensing.Nanomaterials provides a comprehensive and up-to-date overview of the latest research in 2D and carbon-based nanomaterials in France. The contributions of French researchers in this field are significant, and their work is helping to advance our understanding of the unique properties and potential applications of these materials. As nanotechnology continues to evolve, it is clear that France will remain a key player in this exciting field. As we move forward, the collaboration between various stakeholders will be vital in translating these discoveries into practical solutions that benefit society and contribute to a more sustainable future.Overall, this Special Issue of We hope that this collection will provide a comprehensive overview of the current state-of-the-art of 2D and carbon nanomaterials research in France. We would like to express our gratitude to the authors for their valuable contributions to this Special Issue. We also thank the reviewers for their insightful comments and suggestions, which have greatly improved the quality of the papers. Finally, we hope that this Special Issue will inspire further research and collaboration in the field of nanomaterials in France and beyond."}
+{"text": "Superconducting materials have been gradually applied in many areas including energy, transportation, medical imaging and communication. Among them, superconducting magnets that can generate a strong magnetic field above 10 Tesla with absolute advantages of higher quality, lower energy loss, and smaller volume, have become key to the performance improvement of cutting-edge science and large-scale engineering devices such as high-energy accelerators, thermonuclear fusion reactors, and magnetic resonance imaging devices and all-This special topic includes a review, an interview and two research papers, whose main purpose is to introduce the concept and connotation of \u2018mechanical perturbations induced quench\u2019, and the latest research progress, including studies of alleviating the brittleness of superconducting materials, and the influences of cracks on the thermomagnetic instability, which is often considered a reason for quench.The authors of the review article are Prof. You-He Zhou and Prof. Y. Iwasa, who are from Lanzhou University and Massachusetts Institute of Technology, respectively. They reviewed the research progress and challenges of fundamental mechanical problems in high-field superconducting magnets . In thiset al. [2Cu3O7-x (YBCO) superconductors, without reducing its superconducting properties, based on the customized 3D printing combined with a freeze-drying process. The second research paper in this special issue comes from Prof. Ze Jing of Northwestern Polytechnical University. Prof. Jing has been selected into the Young Elite Scientists Sponsorship Program of the China Association for Science and Technology, and won the first prize of the Jan Evetts SUST Award by the international journal Superconductor Science and Technology in 2020. Prof. Jing focuses on the effects of edge cracks on the thermomagnetic instability (TMI) of Type-II superconducting films and finds that the threshold field, the avalanche patterns, and the multifractal spectrum of the TMI process transit with the extension of the edge crack [The first research paper in this special issue comes from Lanzhou University. Zhang et al. have conIt can be seen from the above articles and interview that, on the one hand, SM is extremely important for the development of high-field superconducting magnets; on the other hand, the influence of mechanics to superconductivity, is not only part of the traditional understanding of superconductivity degradation, but also central to the new concept of \u2018mechanical perturbations induced quench\u2019. It is hoped that through the publication of this special issue of SM, electrical engineers can better understand the nature of \u2018mechanical perturbations induced quench\u2019, and continue making progress in developing high-field superconducting magnets."}
+{"text": "Vitamin D performs a differentiating, metabolic and anti-inflammatory function, through genomic, non-genomic and mitochondrial mechanisms of action. In fact, vitamin D not only controls the transcription of thousands of genes and is involved in the modulation of calcium fluxes, but it also influences cellular metabolism and the maintenance of specific nuclear programs. Due to its broad spectrum of action, and because of the large number of target tissues, the deficiency of vitamin D and the molecular defects of its signaling pathway, such as VDR polymorphism or epigenetic silencing, can be involved in many pathologies.In this Special Issue, many scientists have contributed to elucidating the role of vitamin D in health and disease. Eight research articles and a compendium of nine reviews are published, covering different aspects of the activity of vitamin D and its defective signaling or low levels associated with many pathological conditions. Among diseases, the impact of vitamin D deficiency and supplementation in COVID-19 remains a hot topic, as revealed in the previous Special Issue \u201cThe role of vitamin D in human health and diseases\u201d and confirmed in this collection. Here, in addition to a systematic review discussing the evidence of beneficial effects of vitamin D supplementation in COVID-19 patients . SimilarThe effect of vitamin D in pregnancy was considered in two other studies of this collection. A systematic review examined the associations between maternal vitamin D levels and offspring neuropsychiatric and psychiatric outcomes, finding a positive association for attention-deficit/hyperactivity disorder and schizophrenia . MoreoveAmong the signaling pathways analyzed in this collection, the antioxidant and anti-inflammatory properties of vitamin D were largely investigated, and several studies revealed the central role of vitamin D in inflammatory diseases, such as COVID-19, diabetes, AKI, liver and kidney disease. The anti-inflammatory effects of vitamin D were explored in the adipose tissue of obese mice fed a high-fat diet , in T ceAmong the causes of variability in vitamin D signaling, single nucleotide polymorphisms (SNPs) are to be mentioned. Indeed, SNPs can influence the expression and/or functions of the VDR and of other genes in the vitamin D metabolic pathways, and may justify interindividual differences in responsiveness to the hormone. One study of this Special Issue explored five SNPs in the VDR gene in order to unravel the role of genetic polymorphisms on VDR expression in periodontal fibroblasts during simulated orthodontic compressive force . GeneticFinally, the effects of vitamin D supplementation were investigated in inflammatory diseases ,10 and iAs a whole, this Special Issue contains an interesting combination of research articles and reviews that present novel data on the effects of vitamin D in many pathologies, such as COVID-19 and diabetes, and in kidney, liver and cardiometabolic disease. The anti-inflammatory properties of vitamin D are the \u201cfil rouge\u201d in the heterogeneous spectrum of beneficial effects of the hormone described in this collection, which discusses current knowledge of the impact of vitamin D deficiency and supplementation in a variety of diseases."}
+{"text": "Although nicotine and its pharmacological effects are central for sustaining tobacco product use, they may be insufficient to support product acceptance, as sensory stimuli attributable to flavors are particularly critical, reducing subjective measures of craving and withdrawal4. Therefore, in recent years, the tobacco industry has developed and introduced various cigarette technologies and design features, including new tobacco blends, additives, and, subsequently, new flavors. While the importance of flavors has been researched by the tobacco industry in the context of product development, the assessment of flavors for regulatory purposes with the use of sensory and chemical analyses is still under development \u2013 hence an emerging area for incoming tobacco control researchers5.The design and additives of tobacco products are significant factors that facilitate industry innovations that may undermine public health programs and contribute to tobacco use and addictionFurthermore, novel tobacco products that further perpetuate the complexity of understanding and effectively regulating products have emerged, and hence tobacco control research now covers a breadth of products. Like the breadth of COVID-19 variants encountered during the pandemic \u2013 each tobacco product has a different epidemiology and different \u2018high-risk groups\u2019, but all can be appropriately addressed with the application of specific surveillance and mitigation measures.6. The project proposes a series of integrated studies that were proposed to facilitate the training of researchers to examine tobacco product systems, their mechanisms and purpose, interactions between key design characteristics and their assessment, and monitoring in the population. The research training facilitated within EUREST-RISE will be coupled with training on communicating to key stakeholders, among others, policymakers, the media and the general public.In response to this new reality in tobacco control, the EUREST-RISE Project was launched with funding under the Marie Sk\u0142odowska-Curie Action for Staff ExchangesWith a consortium of academic and non-academic partner organizations, the EUREST-RISE project has three operational pillars, each of them directly linked to one of the vertical Work Packages (WPs).WP2 aims to facilitate the exchange of expertise on complex dataset analysis and interpretation at both the product and population level through the analysis of European Union Common Entry Gate (EU-CEG) product-level data and available European population-based secondary datasets.WP3 supports the exchange of expertise on the sensory and chemical analysis of tobacco, e-cigarettes and novel products, including training and research on chemical and toxicological assessment.WP4 supports training in advocacy, policy integration and communication on tobacco control with training in peer-to-peer, media, and stakeholder communication.The complex and multidisciplinary nature of tobacco product regulation involving public health, epidemiology, toxicology, chemistry, sensory science, and public policy, are constructs of training which have yet to be formulated into any formal academic training process in the EU. It is this gap that the EUREST-RISE project will cover through the creation of a cohort of researchers who will be trained as scholars on state-of-the-art aspects of European tobacco product regulatory science."}
+{"text": "Science and technology have allowed human beings to live longer, more comfortably, and in relative safe life from natural weathering. In this scenario, non-communicable diseases linked to aging, sedentarism, and excess of energy consumption have become the major disorders to be contended with. Unfortunately, occasional movements against science have denied the benefit of historical conquests such as vaccination. Meanwhile, nutrition has a special appeal to the unscientifically minded; cyclically, a micronutrient emerges as a panacea able to guarantee health and protect against several chronic disorders. This thinking, similarly to the unfounded concern over vaccinations, tends to find basis in only observational studies with little other scientific backing. The last decade marked the turn of vitamin D. Previously considered a specialized molecule involved in the regulation of mineral metabolism, vitamin D is currently considered a pleiotropic hormone, as virtually all tissues and cells express vitamin D receptor - 3 . SuIn time of pandemic, researchers, physicians, and all chain of health employees are working hard to develop vaccine and drugs, as well as to assist patients harboring the SARS-CoV-2. Unexpectedly, they must also waste time alerting people to avoid false offers of therapy for prevention and treatment of COVID-19 that have no scientific basis and can have detrimental effects, including pharmacological dosage of vitamin D. In the present issue of the Archives of Endocrinology and Metabolism, Santos and cols. bring an appropriate view on the recommendation of vitamin D for those subjects showing vitamin D deficiency . More iFinally, I would like to give to the reader the consensual opinion from The International Osteoporosis Foundation (IOF), American Society for Bone and Mineral Research (ASBMR), American Association of Clinical Endocrinologists (AACE), Endocrine Society, European Calcified Tissue Society (ECTS), and National Osteoporosis Foundation (NOF) on usage of vitamin D in response to the current global pandemic, the COVID-19 . They aIn summary, safe exposition for few minutes (15-30 min) to sunshine naturally enables human beings to acquire the necessary amount of vitamin D, via auto sustainable synthesis of cholecalciferol. Alternatively, exogenous Vitamin D may safely bypass the thermal control of cholecalciferol synthesis within the skin when used in appropriate amounts. This target can securely be attained in most adults following the recommendation of IOM . The ra"}
+{"text": "Cognitive Social Learning theory Bandura, tries toSelf-efficacy beliefs as a predictor of quality of life and burnout among university lecturers . The second analyzes How does teacher-perceived principal leadership affect teacher self-efficacy between different teaching experiences through collaboration in China .A total of 9 articles and 68 authors have contributed to the objective of showing recent models and evidence, derived from Albert Bandura's original theoretical model. Two papers, carried out by the participating researchers, analyze the effect of a key construct in Bandura: the Self-Efficacy. The first work is focused on the effect of Predictive model of the dropout intention of Chilean university students ; the second, entitled You and Me Versus the Rest of the World: The Effects of Affiliative Motivation and Ingroup Partner Status on Social Tuning .Other works have presented evidence regarding the effect of motivation in the teaching-learning process. The first refers to the The effect of individual and classroom moral disengagement on antisocial behaviors in Colombian adolescents shows this phenomenon.An article has addressed another essential aspect of his theory, referred to the moral impact of disengagement, as an explanatory mechanism of aggression and antisocial behavior. The work entitled Self-Regulated Learning, an essential construction derived from A. Bandura's theory. Shows the Short and Long-Term Effects on Academic Performance of a School-Based Training in Self-Regulation Learning .An experimental work is focused on internal and external regulation, applicable to different psychological contexts, in the paper entitled Advances on Self-Regulation Models: A New Research Agenda Through the SR vs ER Behavior Theory in Different Psychology Contexts . Complementarily, an initial validation study of the Assessment Scales of the Regulation/non-regulation/dyregulation construct is presented, in the work titled Self- vs. External-Regulation Behavior Scale TM in different psychological contexts: A validation study .Finally, two papers show a new, broader model of self-regulation, derived from the Theory of A. Bandura, presenting types of In conclusion, this Research Topic is also dedicated to the incredible person and psychologist Albert E. Bandura (1925-2021). Dr. Albert Bandura, was one of the most influential psychologists of all time. Bandura pioneered the field of social learning theory with his landmark Bobo doll experiment. He defined the construct of self-efficacy and proposed an agentic theory of human behavior that challenged the central tenants of behaviorism. Born in Alberta, Canada, in 1925, Bandura earned his undergraduate degree from the University of British Columbia in Vancouver and his graduate degree from the University of Iowa. He joined the faculty at Stanford University in 1953, where he served as the David Staff Jordan Professor of Social Science in Psychology. Bandura was elected APA president in 1973 and encouraged our organization to pursue matters of public interest. Bandura's significant contributions to the field of psychology were recognized in 1980 with APA's Distinguished Scientific Contribution Award and in 2004 with our Award for Outstanding Lifetime Contribution to Psychology. He also received the Gold Medal Award for Distinguished Lifetime Contribution to Psychological Science from APF and the Lifetime Career Award from the International Union of Psychological Science. In 2016, he was awarded the National Medal of Science by President Barack Obama.All authors listed have made a substantial, direct, and intellectual contribution to the work and approved it for publication."}
+{"text": "Staphylococcus aureus is an extracellular bacterium that causes surface to severe hematogenous infections with high infection rate and mortality. Thus, novel antibiotics are urgently required to treat these bacteria. Essential oils (EOs) showed the antibacterial activity and has become the basis of many applications, including alternative medicine, natural therapies, food preservation, raw and processed, and pharmaceuticals. Natural products with EOs can be make use of as raw materials in antibacterial substances.Subjects and Methods: In this study, the \u0251-pinene is a major compound of Pinus densiflora Sieb. et Zucc. (PSZ) EOs. The antibacterial activity of the essential oil extracted from PSZ against MRSA was investigated. The inhibitory effect of \u0251-pinene on MRSA growth, acid production, biofilm formation and expression of virulence factors were examined.Results: PSZ EO was analyzed by gas chromatography (GC) and GC coupled for mass spectrometry, which identified 58 constituents, accounting to 90.98% of the total EO. The most components in all the EOs is \u03b1-pinene (20.56%). At concentrations of higher than 0.25\u2005mg/mL (p<0.05), the \u0251-pinene was examined to inhibit the growth of MRSA. After using the safranin staining method, \u0251-pinene showed an inhibitory effect against biofilm formation. As well as the experimental results were similar to the scanning electron microscopy. At high concentrations with \u0251-pinene in a concentration dependent manner (of 1\u20138\u2005mg/mL) also showed a bactericidal effect by the confocal microscopy. According to the real-time polymerase chain reaction, mRNA expression of virulence factor genes, sea, agrA, mecA, and sarA, was observed. All the expression was observed at a concentration of 0.25\u2005mg/mL by \u0251-pinene.Conclusions: These results suggest that \u0251-pinene, a major compound of PSZ EOs, has the antibacterial activity against MRSA, antibiotic resistant bacteria.This paper was supported by Wonkwang University in 2019.aCunbo Wua Chongqing Mental Health Center, Gele Mountain, Shapingba district, Chongqing, China.Objective: To investigate whether modified electronconvulsive therapy (MECT) causes fever and its causes and feature.Methods: In accordance with the inclusion and exclusion criteria, Data analysis was conducted on 12 patients with mental disorders who were treated with modified electronconvulsive fever after treatment from February to May 2022 at chongqing Mental Health Center.Results: Fever is more common in adolescents after MECT treatment, 4 persons under the age of 20, accounting for 33.3%; 5 persons aged 20-29, accounting for 41.7%; mainly with moderate fever, 7 cases (58.3%), usually occurs in the second time of MECT (50%) and in that afternoon of the day after operation, 11 cases (91.6%). One case was fever after the third time, accounting for 10%; Two cases (20%) developed fever after the eighth MECT. 4 cases had normal blood routine after MECT. 8 cases (66.7%) had elevated WBC. 4 cases (33.3%) showed normal CRP during fever after MECT. CRP was elevated in 8 cases (66.7%). Among the patients with fever, there were 5 females (41.7%) and 7 males (58.3%). 9 cases (75%) of febrile patients were schizophrenic. 2 cases of affective disorder (16.7%); 1 case (8.3%).Conclusions: The fever caused by MECT should not be ignored and should be treated promptly. Relevant auxiliary examination should be improved to clarify the cause and further treatment. MECT treatment should be suspended if necessary.a, Bing Hua, Qinjing Lia, Linlin Liua, Zhenzhen Doua, Zhihui Zhaob, Liang Zhua, Tianming Chena, Lingyun Guoa, Gang LiuaXin Guoa Key Laboratory of Major Diseases in Children, Ministry of Education, Department of Infectious Diseases, Beijing Children\u2019s Hospital, Capital Medical University, National Center for Children\u2019s Health, Beijing, 100045, China, b Department of Heart Diseases, Beijing Children\u2019s Hospital, Capital Medical University, National Center for Children\u2019s Health, Beijing, 100045, China.Background: Infective endocarditis (IE) is a rare and fatal disease in children, with Staphylococcus aureus (SA) as the leading cause in many regions of the world. Staphylococcus aureus infective endocarditis (SAIE) often presents sudden onset of sepsis and embolism, with multiple organs damage. SAIE with persistent bacteremia is a challenge in clinical practice. Some specific antibiotics such as daptomycin are available as an alternative when conventional treatment fail.Subjects and Methods: The research team retrospectively analyzed the medical records of 7 pediatric patients with infective endocarditis caused by Staphylococcus aureus admitted to Beijing Children\u2019s Hospital from February 1, 2018 to February 28, 2021. The etiology, symptoms and signs, laboratory results, treatment and prognosis were collected, and compared with 13 other cases. Blood culture and echocardiography were used to diagnose the disease, and the efficacy of different antibiotics was analyzed.Results: SAIE accounted for 35% (7/20) of all IE patients, with 7 cases ranging in age from 1 year 5 months to 13 years 8 months. 3 cases (42.9%) had methicillin- resistant Staphylococcus aureus (MRSA) and 4 cases (57.1%) were methicillin-sensitive Staphylococcus aureus (MSSA). A total of 4 cases (57.1%) had congenital heart disease. All patients (100%) had fever and 3 cases (42.9%) had major vessel embolic events. 4 cases (57.1%) had central nervous system complications and 4 cases left heart endocarditis. All patients initially received vancomycin-based treatment regimens. 2 cases (28.6%) with persistent bacteremia were changed to a 9\u2005mg/kg/dose of daptomycin when the conventional treatment failed to vancomycin therapy. The outcomes were good and no significant side effects occurred. Daptomycin in our study was first applied successfully for SAIE with persistent bacteremia in Chinese children.Conclusions: SA was the common major pathogen detected in IE. Appropriate antibiotic therapy needs to be adopted, and evaluation of persistent bacteremia and vascular embolic events is needed. The study also showed that vancomycin and linezolid are still the first-line choices for treatment of the disease, but daptomycin can also be an effective treatment option.The authors would like to thank Huiyu Liu\u2019s writing support from MSD, Qinjing Li and Tianming Chen\u2019s support during the conduction of this study.a, Lin Niub, Haijun Shana, Caihong Caoa, Yingying Zhanga, Yujin HouaXiaosu Jiea Child Rehabilitation Department, Henan Province Hospital of Traditional Chinese Medicine, Zhengzhou, China, b Department of medical technology, Zhengzhou Railway Vocational and Technical College, Zhengzhou, China.Background: This study analyzed the effects of Jiao\u2019s scalp acupuncture combined with task-oriented training on gross motor function classification, gross motor function assessment and motor development of children with spastic cerebral palsy. Spastic cerebral palsy is the most common type of cerebral palsy with motor dysfunction among the main clinical manifestations. Even the severe patients can not walk for life. So exercise intervention is the focus of cerebral palsy treatment. This study aims to provide more effective treatment methods for pediatric spastic cerebral palsy.Subjects and Methods: Fifty children admitted to our hospital for spastic cerebral palsy from January 2020 to June 2021 were enrolled, and assigned to the control group (n=25) receiving task-oriented training, and the observation group (n=25) receiving Jiao\u2019s scalp acupuncture plus task-oriented training. Before and at 6 months after treatment, the gross motor function grade, gross motor function assessment score changes and the satisfaction of children\u2019s guardians with rehabilitation treatment were compared.Results: After the treatment, the total gross motor function score was higher in the observation group (P<0.05). The number of gross motor function in patients with decreased grade, the Peabody motor development score, the satisfaction and overall clinical efficacy of the children\u2019s guardians were higher in the observation group .Conclusions: Jiao\u2019s scalp needle was founded by Professor Jiao Shunfa in 1971. Based on the theory of cerebral scalp needle has been widely used in the clinical treatment of various encephalopathy in China due to its convenient acupoint selection and simple operation, and has achieved positive clinical effect in the treatment of spastic cerebral palsy in children. Jiao\u2019s scalp acupuncture combined with task-oriented training applied in spastic cerebral palsy children has obvious practical effect. They can reduce the disease of children and improve the level of gross motor function of children, improve the quality of life and self-reliance, self-care ability of children at the same time. It also can enhance parents\u2019 confidence in rehabilitation and improve parents\u2019 satisfaction with rehabilitation treatment. As a result, the effect is better than that of task-oriented training routine treatment.This work was supported by the Scientific research project of traditional Chinese medicine in Henan Province, Project: 2019ZY2056a, Yi FengaChenlin Wanga School of Art and Design, Beijing Forestry University, Beijing, China.Background: The incidence of Autism Spectrum Disorder (ASD) in children around the world is on the rise, and the development of mental health in autistic children due to physical defects can lead to cognitive, emotional, behavioral and other disorders. Since the etiology and biochemical abnormalities of ASD have not been fully elucidated, and there is no specific drug to treat ASD pathologically, ASD has increasingly become a worldwide problem facing human society. The importance of toys for the healthy development of children makes it possible to improve the above problems through toy training. The design of cognitive behavioral training toys for children with ASD has received a lot of attention. The INPD method is widely used in many fields, providing the possibility to solve the problem of designing cognitive behavioral training toys for children with ASD.Subjects and Methods: Based on the design method of INPD theory, the design strategy of ASD Children\u2019s cognitive behavioral health training toys is explored. This paper uses INPD, combined with AHP, to guide the toy design ideas for ASD children. Firstly, the design gaps is found from SET analysis method; then, a questionnaire survey is conducted on ASD children\u2019s families to clarify the needs of ASD children\u2019s families for cognitive behavioral health training toys and classify the needs to form a hierarchical diagram of user needs; finally, the nine-scale method of AHP hierarchical analysis is introduced to calculate the important priorities of different levels of needs. Finally, different requirements are sorted into design strategies in priority order.Results: The product concept is then translated into a design strategy. According to the priority order of needs, the design strategy of ASD children\u2019s cognitive behavior training toys should focus on logic and cooperation in content, establish toy IP and develop intelligent training toys. In addition to following the safety principle, the design principle should also pay attention to the simplicity and scalability of toys, so as to fully realize the purpose of training the physical functions of ASD children and letting them grow up healthily.Conclusions: The design method of combining INPD and AHP effectively solves the problem of prioritization of user needs in toy design, provides a new design idea for the design of cognitive behavioral health training toys for autistic children, and also provides a new method for other research on user needs.aJunwei Wanga Wuhan Sports University, Wuhan 430079, China.Background: With the rapid development of high quality in the education, the aim of this study was to Children sensory integration has become the focus of global education. It has important theoretical and practical significance to improve children\u2019s sensory integration through sports activities or training.Subjects and Methods: Take the development frontier and practice cases of children sports and sensory integration abroad as an opportunity, this paper uses comprehensive analysis methods, such as literature review and data statistics, to comb the meaning, application and design of children\u2019s sport and sensory integration. Meanwhile, this research will focus on the development history, current situation, function and role of sensory integration. Combining the special functions of sports and empirical cases, explain children\u2019s bad behaviors in the environment, life, and learning, and provide a scientific de mainly base sign path.Results: Sensory integration training is based on games to cultivate children\u2019s learning interest, self-consciousness, and teamwork capabilities. They Correct children\u2019s incorrect standing, sitting, walking, running, etc. through specific language environment, body movements and teaching aid guidance and behavior habits. Therefore, children sports is a brand-new training model tailored to the individual needs of children. Studies have found that the early childhood stage is a key stage for the development of the sensory nervous system. It is believed that the sensory system is a sub-component of the brain motor control system, which needs sports activities or training to stimulate the neural linkage, and the linkage is realized through the complementary relationship between static and dynamic components, On the child\u2019s brain growth and limbs and trunk have a healthy role in promoting.Conclusions: Sports activity or training can promote children\u2019s body, vestibular, tactile and other sensory systems to process, improve the flexibility and adaptability of children\u2019s body posture, joints, muscles, eyesight, hearing and other body parts during exercise, and have a positive impact on children\u2019s cognitive and mental health. The purpose is to solve children\u2019s behavioral cognition and mental strengthening training, so that the child\u2019s brain can smoothly integrate and process various sensory information and make correct decisions. Therefore, learning sports activities in childhood is an important functional attribute of promoting the healthy growth of children.Foundation Project: 2019 Scientific Research Program of Hubei Provincial Department of Education (Project number: B2019196); Wuhan Sports University Scientific Innovation team of young and middle-aged funding project.a,b, Haili Lib, Shi Guob, Guoping Wangb and Hairong LiubPenghui Xua Department of Management, Jiangsu University, Zhenjiang, Jiangsu 212013,China, b Anhui Key Laboratory of Philosophy and Social Sciences for Public Health Crisis Management in Colleges and Universities, Wannan Medical College, Wuhu 241002, China.Background: To investigate the impact mechanism of health input structure attributes on health development and its regional differences based on the perspective of human capital.Subjects and Methods: Using panel data from 31 Chinese provinces from 2011 to 2018 and using the systematic GMM estimation method, the public health output effects of the health expenditure structure and its regional differences were investigated.Results: Firstly, the empirical results showed that social health expenditure significantly increased public health output. There were regional differences: the eastern region showed the strongest effect in this regard, the central region had the second strongest, and the western region involved the weakest effect. However, government health and personal hygiene investment did not significantly increase public health output. Second, the number of doctors per thousand people had a significant impact on public health output, but there were significant regional differences: the eastern region had the strongest promotional effect, while the central and western regions were not significant. Third, there were significant regional differences in the impact of the number of beds per thousand people on health output, of which the western region was the most significant, followed by the central region, and the promotional effect in the eastern region is not significant. Fourth, the per capita GDP and environmental factors in the three major regions of eastern, middle, and western China had no significant impact on the health level, while there was a significant regional difference in the impact of per capita education level on the health level. The regional promotional effect was relatively high, while the central and western regions were not significant.Conclusions: The conclusions of this study have important policy implications. In order to further improve the health of residents and build a healthy China, we put forward the following policy recommendations: Strengthen the input of health resources in key areas is to ensure basic medical services, effectively ensure the equalization of basic medical services, and improve the accessibility and affordability of medical services; The government should increase support for social health in the central and western regions, implement a variety of tax incentives to promote the continuous growth of social health expenditure, and build a mechanism to maximize the efficiency of health resources.The authors thank all participants who made an effort in this study. This study was funded by the grants from the Ministry of Education of China (grant 20YJCZH193) and Anhui Provincial Department of Education (grant SK2017A0212).a, Xiaoyu Changa, Qinglan Liua, Kaiwen Zhaob, Songqiang Yic, Yingmei Yua, Sansan Shaoa, Zhenghua Huanga, Ruili Lid, Siming LiaHan Yana Key Laboratory for quality and safety control of poultry products, Ministry of Agriculture and Rural Affairs of the People\u2019s Republic of China, Institute for Quality & Safety and Standards of Agricultural Products Research, Jiangxi Academy of Agricultural Sciences, Nanlian Road 602, Nanchang 330200, China, b Nanchang Institute of Technology, Nanchang 330044, China, c Agricultural Technology Extension Center of Jiangxi Province, Nanchang 330046, China, d Yantai Academy of Agricultural Sciences, Yantai 265500, China.Background: Selenium is a necessary nutrient element in the human body. Because the human body cannot synthesize selenium, it needs to be supplemented from the outside. Moderate supplement of selenium can improve human immunity and resistance, and promote human health. At the same time, with the improvement of people\u2019s living standards, the development of healthy and safe functional selenium enriched eggs has attracted more and more attention. In this study, Dongxiang green-shell laying hens was taken as the experimental object, to investigate the effect of nine different kinds of selenium (Se) feeding methods to Dongxiang green-shell laying hens with different morphological characteristics (red and purple comb) on egg concentration, viscera antioxidant properties, and slaughter index. In order to provide a basis for the production of safe and healthy selenium enriched green shell eggs.Subjects and Methods: The experiment was carried out on two hundred and fifty two 30-week-old Dongxiang black feather laying hens and the red comb ones and purple crests ones equal share of the total number of the test. These hens were allocated to nine dietary treatments and each group was divided into four parallels with 7 hens per replicate and two of the replicates have red crests and the other have purple crests. respectively. The hens were free to eat and drink during the experiment. We controlled the winter feeding temperature between 16 and 18 \u00b0C and the lighting in hen house was 14h daily.Results: The result shows that the organic selenium group has higher portion of selenium in all indicators measured than inorganic selenium group significantly (P<0.1). Also the total selenium content is higher in high concentration group than in low ones under the stress of the same selenium source. Moreover, enrichment of selenium content in egg and breast was the most effective via application of dietary selenomethionine (0.6\u2005mg/kg) in purple crown group. Statistically, there is a significant difference (P\uff1c0.1) in the concentration of selenium deposition in eggs between purple and red cockles in the same selenium source group . And the difference in the color of chicken\u2019s crown had a significant effect on the selenium content deposited in the plasma and visceral of the selenomethionine treatment group (P<0.1).Conclusions: the selenium supplemental concentration was positively correlated with the anti-oxidant capacity in viscera and the effect was significant. In conclusion, adding 0.6\u2005mg/kg selenomethionine in the diet of purple crown laying hens has the best effect on selenium enrichment in eggs and tissues, and the detection indexes are better than those of red crown ones. This study provides a theoretical basis for the development of selenium-rich products.Study on selenium deposition mechanism and key technologies of Product development and utilization in green shell eggs (Item number: 20202BBFL63029); Study on technology system of nutritional evaluation of agricultural products (JXXTCXNLTS202103); Study and application of key technologies for high value fermentation of Selenium-rich rice (Item number: 20202BBFL63011).a,b, Weixiong Liaoa, Zhongyan Wenb, Yue Zhaoc, Yonghui Liub, Jincan ChenbGanbin Qiua Imaging department of Zhaoqing Medical College, Zhaoqing 526020, China, b Department of Radiology, The First People\u2019s Hospital of Zhaoqing, Zhaoqing 506040, China, c Department of Radiology, The First Affiliated Hospital of Jinan University, Guangzhou 510000, China.Background: To compare the changes of brain low-frequency amplitude (ALFF) in patients with primary insomnia (PI) and healthy control group (HC) before and after the treatment of Shenmen combined with Neiguan point, and to explore the neural mechanism of brain function changes in patients with PI by electroacupuncture Shenmen combined with Neiguan point.Subjects and Methods: From November 2019 to May 2022, 23 PI patients were recruited in Zhaoqing First People\u2019s Hospital as the study group, and 26 healthy volunteers with age, sex and education level were recruited in society as the control group; All the subjects were scored with the clinical Pittsburgh Sleep Quality Index (PSQI), Hamilton Depression Scale (HAMD) and Hamilton Anxiety Scale (HAMA) before acupuncture, and all the subjects were scanned with resting MRI before acupuncture treatment; Then select Shenmen and Neiguan points of the two groups of subjects for electroacupuncture therapy. After \u201cDeqi\u201d, the electroacupuncture will continue to stimulate for 30 minutes. After another electroacupuncture treatment the next day, the resting MRI scan will be performed again. The low frequency amplitude (ALFF) analysis method was used to calculate the ALFF of brain regions between PI group and HC group before and after acupuncture, and the rest state in PI group before and after acupuncture.Results: There was no significant difference in gender and age between the two groups (p>0.05), but the PSQI score, HAMA score and HAMD score of patients in the study group were significantly higher than those in the control group (p<0.05). Before acupuncture treatment, the brain areas with increased ALFF values in PI group included the right cuneiform lobe, left inferior temporal gyrus, left amygdala, etc., while the brain areas with decreased ALFF values included the right parahippocampal gyrus, right anterior cuneiform lobe, left inferior parietal lobule, and left thalamus; After acupuncture treatment, the brain areas with increased ALFF values in PI group included the left posterior cingulate gyrus, bilateral anterior cuneiform lobe and right cuneiform lobe, and the brain areas with decreased ALFF values included the left amygdala, the right transverse temporal gyrus, and the right posterior central gyrus.Conclusions: The brain regions of default network, significant network and part of emotional cognitive network in patients with primary insomnia (PI) are damaged, which may be the microcosmic manifestation of daily behavior and cognitive abnormalities in PI population. The combination of electroacupuncture at Shenmen and Neiguan points can activate part of the damaged brain areas of PI population, so as to improve the mental state and sleep, which may provide a new auxiliary scheme for clinical treatment of PI population.This work was supported by the Science and Technology innovation of Zhaoqing City, Guangdong Province, China under Grant (No. 2019N008). This work was supported by Medical Scientific Research Foundation of Guangdong Province, China under Grant (No.B2020225).a, Tian Tiana, Shengzhi Tana, Tao Liua, Dong Wanga, Yuan Lia, Di Wua, Rong TanaKai Cuia Department of Spine Surgery, Strategic Support Force of Chinese PLA, Beijing, 100101, China.Background: To evaluate the safety and reliability of minimally invasive Dynesys implantation and discectomy (MIS-Dynesys) and minimally invasive transforaminal lumbar interbody fusion (MIS-TLIF) under Quadrant tube in single level lumbar degenerative diseases.Subjects and Methods: From January 2016 to December 2018, a retrospective analysis was carried out on 65 patients with single-segment lumbar degenerative diseases admitted to our hospital. Among them, 21 patients, 12 males and 9 females, with an average age of 64.57\u2009\u00b1\u20096.8 years, were treated in the MIS-Dynesys group, and 44 patients in the MIS-TLIF group, 19 cases in men and 25 cases in women, with an average age of 64.16\u2009\u00b1\u20095.71 years old. The general data, duration of surgery, bleeding volume, drainage, and oswestry disability index (ODI), JOA score (Japanese Orthopedic Association), and Visual Analogue Scale (VAS) for preoperative and postoperative and final follow-up were recorded to evaluate clinical efficacy. Before surgery, X-rays of lumbar orthovertebral lateral position and flexion and extension position, lumbar CT, lumbar spine MRI combined with clinical determination of the responsibility gap. 2 days after the operation, X-rays of the lumbar vertebrae in the lateral position and the flexile and extensive position were taken, and the LUM CT was re-determined to determine the internal fixation position and then moved to the ground. At the last follow-up, both patients were taken X-rays of the lumbar orthovertebral lateral position and flexion and extension motility position, the mobility of the surgical segment was measured, and the fusion group reviewed the CT to assess the fusion effect, and the data were collected for comparative study.Results: The follow-up time of the two groups of patients was 6-39 months. The results of the MIS-Dynesys group and the MIS-TLIF group were not statistically significant in terms of general data, and operation time, and bleeding volume (P>0.05), and the former had significantly lower drainage than the latter, and the difference was statistically significant (P<0.05). Preoperative ODI JOA lumbago and leg pain VAS scores in 2 groups were not statistically significant (P>0.05); ODI JOA and lumbago and leg pain VAS scores in 2 groups at the end of 3 months after surgery were significantly improved compared with those before surgery, and the differences were statistically significant (P<0.05); ODI JOA and lumbago and leg pain VAS scores were not statistically significant between the two groups at the end of 3 months after surgery(P>0.05).There was no statistical difference in the activity results of the preoperative target segment (P>0.05) between the two groups, and the postoperative follow-up, the former of which still maintained a certain degree of activity, and the latter was well fused, the mobility was 0, and the difference was statistically significant (P<0.05).Conclusions: For single level lumbar degenerative diseases, MIS-Dynesys can achieve similar result with the MIS-TLIF. The MIS-TLIF group had more drainage and fusion. The MIS-Dynesys group maintain a degree of motion.a, Fangliang Huanga, Tongping ShenaHuanqing Xua School of Medicine and Information Engineering, Anhui University of Chinese Medicine, Hefei, Anhui 230012, China.Background: To cultivate new medical talents with high information literacy and healthy mental qualities, the teaching of basic computer courses in medical schools should be made more practical, specialized and useful. The goal of this paper is to study how the characteristics and advantages of the subject matter of basic computer courses in medical schools can be combined with mental health education and permeated in classroom teaching, in order to cultivate good motivation and a healthy personality for students and to establish a positive and active mental quality for later entry into the workplace.Subjects and Methods: This paper is to highlight the professional characteristics of medicine in the teaching of basic computer courses at Anhui University of Chinese Medicine, and to create a computer course with a \u201cmedical flavor\u201d. The course integrates computational thinking into the curriculum and further enhances students\u2019 understanding and absorption of knowledge by \u201cdissecting\u201d complex problems at different levels. In addition, the online and offline integration of the SPOC teaching model can fully motivate students to learn on their own. In the teaching of basic computer courses, the overall objective of quality education should be taken as the basis for establishing corresponding mental quality objectives. Through training, counselling, implication and infection, students\u2019 mental quality will be improved, their mental barriers will be solved, their mental health will be promoted and their healthy mental qualities will be cultivated.Results: After one cycle of reform practice, the teaching results of four Applied Psychology classes of different grades taught by the author were remarkable. A comparison of the course formative assessment results shows that the SPOC combined with the computational thinking development teaching model and integrate into mental health education has greatly stimulated students\u2019 interest in learning, with a significant increase in both pass and merit rates.Conclusions: Classroom practice shows the importance of integrating computational thinking and health education into the SPOC teaching model as a \u2018new treatment\u2019 to facilitate the development of pedagogical reform in the course.This study was supported by the Key Project of Scientific Research in Anhui Higher Education Institutions of China under Grant NO. KJ2021A0587 and NO. SK2020A0244, the Provincial Quality Engineering Project in Anhui Higher Education Institutions of China under Grant No.2020jyxm1029 and 2022jyxm857.a, Feng Shana, Yimeng Wangb, Ya Liua, Yao Liua, Yunfang ZhenaJun Wena Department of Orthopaedics, Children\u2019s Hospital of Soochow University, Suzhou, Jiangsu 215000, China, b Department of Orthopaedics, First Affiliated Hospital of Soochow University, Suzhou, Jiangsu 215000, China.WJ and SF contributed equally to this study.Background: To explore the efficacy of interlocking intramedullary nail in the treatment of femoral shaft fractures in adolescents.Subjects and Methods: The clinical data of 10 adolescent femoral shaft fractures treated with interlocking intramedullary nailing in our hospital from January 2020 to December 2021 were retrospectively analyzed. Among the patients, 8 were male and 2 were female. Their ages ranged from 11.5 to 15.3 years . Their weight ranged from 50.2kg to 70.2\u2005kg . The procedure was fixed with a static interlocking intramedullary nail. Periodic follow-up examinations were performed to monitor the occurrence of complications and to record the time of union of the fracture. At the last follow-up, neck shaft angle (NSA), medial proximal tibial angle (MPFA), femoral head diameter (FHD), femoral neck diameter (FND), and articulotrochanteric distance (ATD) were measured on the X-ray. Functional recovery of the affected limb was assessed using Thoresen\u2019s criteria.Result: The mean follow-up time was 14.4 months (10-17 months). All fractures healed, and all incisions healed at the first stage. No infection or incision dehiscence occurred. The average fracture union time was 5.1 weeks (4-8 weeks). The average radiological union time of the fracture was 9.6 weeks (6-12 weeks). There was no nonunion of the fracture,no delayed union, no malunion, no broken nails, no re-fracture. A leg length discrepancy of 1.4cm was observed in one case. One patient had ectopic ossification above the greater trochanter. Pressure ulcers occurred at the ankle in one patient. The NSA, MPFA, FHD, FND, and ATD at the final follow-up were, respectively, for the affected side,which were insignificantly different from those for the healthy side (P>0.05). According to the Thoresen criteria, there were 8 (80%) excellent, 1 (10%) good, and 1 (10%) satisfactory results with an excellent to good rate of 90%.Conclusion: Interlocking intramedullary nailing is clinically effective in the treatment of femoral shaft fractures in adolescents, with excellent fracture union, few complications and no significant effects on proximal femur development in the short term.This work was supported by funds from National Natural Science Foundation of China (no. 82172520).a, Guoshuai Mab, Gandan Sic, Xiaoqiang Liud, Lixin CheneFenglan Guoa School of Physical Education, Xinjiang Normal University, China, b Xinjiang Institute of Engineering, China, c School of Physical Education, Changji University, China, d Urumqi NO.8 middle school, China, e Xingjiang Vocational Institute of Energy Technology, China.Background: In the era of \u201cInternet +\u201d, the application of blended teaching method has become an important starting point for the construction of first-class physical education courses in China, which is the direction of the curriculum reform of higher physical education and highlights its unique advantages in the application and development of physical education classroom teaching, namely, blended teaching can not only be applied to the theory and health knowledge classroom, but also can be combined with physical education technology teaching. And then provide services to promote students\u2019 health, health education and its physical and mental health.Subjects and Methods: This study takes blended teaching method of general track and field courses as the research theme, adopts the methods of literature review, questionnaire survey and on-the-spot investigation to carry out the application implementation of the online and offline blended teaching method for the students in Grade 2021 of physical education major, and explores the application effect of online and offline blended teaching practice of general track and field courses.Results: (1) Blended teaching of track and field general courses should include independent learning, cooperative learning, question answering, practice consolidation, summary and evaluation. (2) The application of mixed teaching of track and field general courses has different degrees of influence on the innovation of teaching and learning, the working efficiency of teachers, the improvement of students\u2019 technical skills and abilities, and the evaluation of teaching performance. (3) Combining mixed teaching of track and field general course with ideological and political practice of the course has a certain promoting effect and value on the mining, design and practical application of ideological and political elements of the course. (4) Through the combination of online and offline teaching and practice platform of track and field courses, the concept of physical and medical integration can be integrated into the sports training and rehabilitation education and learning of college students majoring in physical education, so that the sports health education of college students majoring in physical education can develop in a scientific wayConclusion: (1) Use the Chaoxing Learning platform to carry out blended teaching design and practice, expand students\u2019 multiple ways of learning in track and field, meet students\u2019 professional learning needs, and improve students\u2019 self-learning ability (2) By teaching theories and health knowledge about track and field events online, and learning skills online and offline, students can better master the health knowledge about track and field, fitness means and skills, cultivate students\u2019 professional quality of teachers, and enhance students\u2019 comprehensive ability of sustainable development. (3) The referee practice of track and field general training events and the ability training of demonstration and explanation are carried out in the way of cooperative group rotation, so as to stimulate students to give full play to their potential, integrate and expand the application of what they have learned, and cultivate the core quality of physical education teachers in primary and secondary schools. (4) Integrate ideological and political education into the online and offline teaching process, improve students\u2019 comprehensive ability and the effect of ideological and political education in the course, so that the core quality of students\u2019 future teacher career can be improved accordingly, which is in line with the talent training program. (5) The combination of online and offline teaching methods can organically combine skill practice with theoretical learning of sports health education, so as to promote the effectiveness and scientific development of track and field courses.This work was supported by the First-Class Undergraduate Course of Xinjiang Normal University in 2021 ----Hybrid Online and Offline First-Class Courses (Track and Field), the Social Science Fund of Autonomous Region, Project No.: 22CTY031.aJian Xua China Export & Credit Insurance Corporation, Beijing 100033, China.Background: To illustrate how RCEP offers positive psychological incentives and emotional regulation for the traders and investors, thus promoting trade and investment in East Asia, and to give some suggestions on how China export credit insurance could play an important role in serving China\u2019s opening up and supporting enterprises to develop markets in the contracting parties.Methods: This paper, from the psychological perspective, compares RCEP with the General Agreement on Tariffs and Trade (GATT), the General Agreement on Trade in Services (GATS), the Agreement on Trade-Related Investment Measures (TRIMs), the Trade Facilitation Agreement (TFA), Agreement on Safeguards(AS), the US-Canada-Mexico Agreement (USMCA), the EU-Canada Comprehensive Economic and Trade Agreement (CETA), and the Comprehensive and Progressive Agreement for Trans-Pacific Partnership (CPTPP) to illustrate how RCEP offers psychological incentives and emotional regulation for the traders and investors, thus promoting trade and investment in east Asia. Besides, the paper preliminarily judges the opportunities and challenges of China export credit insurance to support China\u2019s enterprises in conducting trade and investment in the contracting parties, finally, it gives some suggestions on how China export credit insurance could play an important role in serving China\u2019s opening up and supporting enterprises to develop markets in the contracting parties.Results: The analysis of RCEP rules shows that RCEP will give positive psychological incentives and emotional regulation to traders and investors in East Asia, and then expand regional trade and investment in the region. At the same time, RCEP allows the parties to take relevant protective measures, which may reduce the psychological expectations of traders and investors, and thus may have negative effects on trade and investment in the region. Based on the above, from a practical point of view, China export credit insurance could strengthen the positive psychological incentive and emotional regulation of the agreement, stabilize the psychological expectation of China\u2019s traders and investors to develop market in East Asia.Conclusions: RCEP rules could give positive psychological incentives and emotional regulation to traders and investors in East Asia. At the same time, RCEP may have negative effects on trade and investment in the region. China export credit insurance, starting from the following 4 aspects, could strengthen the positive psychological incentive and emotional regulation of the agreement, stabilize the psychological expectation of China\u2019s traders and investors to develop market in east Asia: 1. A deep understanding that opportunities brought by RCEP are conducive to better integration of China export credit insurance into the China\u2019s development; 2. Take the bidding list of the contracting parties within RCEP as the starting point, and clarify the specific support direction from China export credit insurance for China\u2019s enterprises; 3. China export credit insurance shall provide timely support to promote China\u2019s enterprises to build a more mature supply chain layout of foreign trade industry among contracting countries within RCEP.a, Qiyan JiangbDawei Yanga Shandong Polytechnic, Jinan, Shandong, 250104, China, b Zaozhuang Transportation Service Center, Zaozhuang Shandong, 277800, China.Background: The purpose of this dissertation is to explore the impact of rural health human resource allocation on the mental health of rural residents. The increasingly prominent problem of health human resource allocation in rural areas affects the quality and coverage of medical services and has an important impact on the psychological health of rural residents.Subjects and Methods: Through collecting relevant literature and field research, this paper analyzes the main problems of rural health human resource allocation, including insufficient number of medical personnel, low level of medical technology, and uneven distribution of medical resources. These problems have led to difficulties in accessing medical services and mental health support for rural residents. This dissertation also explores the relationship between rural health human resource allocation and the mental health of rural residents.Results: An unreasonable allocation of health human resources can lead to rural residents\u2019 dissatisfaction and distrust of medical resources, which in turn affects their mental health status. The lack of professional mental health service personnel and psychological support mechanisms is also an important cause of mental health problems among rural residents. However, some positive practices and countermeasures have been proposed, including strengthening the training and introduction of health human resources, improving the mental health literacy of medical personnel, and establishing a sound mental health service network.Conclusions: Through an in-depth study of the impact of rural health human resource allocation on the mental health of rural residents, we can better understand the root causes of the problem and the mechanisms of influence, and make corresponding policy and practice recommendations. Improving rural health human resource allocation and providing better medical services and psychological support are important for promoting the mental health of rural residents. This study provides useful references for relevant departments and policy makers to better respond to the rural health human resource allocation problem and improve the mental health of rural residents.a, Jin Yana, Feiqin LibKaigang Yia School of Business Administration, Zhejiang Gongshang University, Zhejiang, 310018, China, b Zhejiang Gongshang University Hangzhou College of Commerce, Zhejiang, 311508, ChinaBackground: Credit is the key mental health factor to support the economic development of the platform, while demand-side users are the direct \u201cfact implementers\u201d of credit fraud on the network platform, but they are also easily overlooked subjects. Studying the formation mechanism of demand-side users\u2019 credit fraud from the perspective of consumer psychology can provide a new direction for the governance of credit fraud on the network platform. Based on the theory of planned behavior and fraud risk factors, this paper integrates and constructs a theoretical model of the mechanism of credit fraud of platform demand-side users through theoretical applicability analysis.Subjects and Methods: On the basis of theoretical deduction, seven hypotheses were constructed, and 312 valid questionnaires were collected by taking the demand-side users of online shopping platform as the empirical research object. On the basis of reliability and validity test, the structural equation model was used to statistically test the fitting degree and research hypotheses of the whole model, and then the nest model method was used for further verification.Results: (1) attitude of credit fraud, subjective norms of credit fraud, and control of perceived behavior of credit fraud have direct positive effects on the intention to commit credit fraud; (2) Perceived risk indirectly affects the intention to commit credit fraud through the control of perceived behavior of credit fraud; (3) Risk preference plays a moderating role in the influence of perceived risk on the control of perceived behavior of credit fraud.Conclusions: According to consumer psychology, credit fraud committed by platform demand-side users is influenced by personal morality and interests, government supervision and punishment, and important stakeholders in society, which provides a certain direction for innovative research on governance countermeasures. (1) At the regulatory level, the government and the platform main body should first pay more attention to the harmfulness of credit fraud of demand-side users of the platform, and speed up the formulation of special programs or special documents to deal with this problem; (2) At the technical level, we should, on the basis of the relatively mature technical discrimination against credit fraud of platform supplier users, draw lessons and innovate technical means to strengthen the transaction management of demand-side users, and use technology to empower supervision and warn fraud, so as to reduce the implementation space of fraud; (3) At the social level, it is necessary to carry out thematic series of publicity and reports in combination with the special actions of industry and commerce department, public security department and other departments aimed at the governance of online platform credit fraud.This paper was funded by the Youth Project of the National Philosophy and Social Sciences Foundation (19AGL009) and the Zhejiang Philosophy and Social Science Foundation (17NDJC218YB).a, Xiaoyu Changa, Qinglan Liua, Jiewei Liub, Ruili Lib, Kaiwen Zhaoc, Dawen Zhanga, Yingmei Yua, Huanhuan Wana, Biaojin Zhanga, Siming LiaHan Yana Key Laboratory for quality and safety control of poultry products, Ministry of Agriculture and Rural Affairs of the People\u2019s Republic of China, Institute for Quality & Safety and Standards of Agricultural Products Research, Jiangxi Academy of Agricultural Sciences, Nanlian Road 602, Nanchang 330200, China, b Institute of Animal Science, Yantai Academy of Agricultural Sciences, Yantai, Shandong 265500, China, c Nanchang Institute of Technology, Nanchang, Jiangxi 330044, China.H Yan and XY Chang contributed equally to this study.Background: The trace element selenium is not only one of the essential nutrients for the human body, but also an indispensable element for animal growth and development that is closely related to many important physiological functions of animals. At the same time, a lack of selenium lowers the body\u2019s immune function, which is a hallmark of depression. This experiment was designed to investigate the effects physiological functions of different selenium sources on slaughter performance, meat health and antioxidant activity of Dongxiang green-shell laying hens.Subjects and Methods: A total of 450 30-week-old healthy Dongxiang green-shelled laying hens with similar body weight were randomly divided into 9 groups. All the animals were fed the same basal diet. The control group was fed a non-supplemented diet. T1 and T2 were added sodium selenite (SS).T3 and T4 were enriched with selenium yeast (SY). T5 and T6 were fed with diet comprising Kappa-Selenocarrageenan (SK). And T7 and T8 were supplemented with selenomethionine (SM). And the concentrations of each type of selenium medium added above were 0.30\u2005mg/kg and 0.60\u2005mg/kg, respectively. The prefeeding period was 3 days, and the formal experiment lasted for 28 days.Results: 1) The carcass weight of T7 and T8 were increased significantly (P<0.05) compared with the control group. The rate of half breast meat was higher in T7 group higher than in other groups (P<0.05). The abdominal fat percentage in groups T1, T2 and T4 was higher than that in control group (P<0.05). 2) The ovarian index of Dongxiang green-shelled laying hens increased significantly (P<0.05) in T7 and T8 groups. The spleen index of T2 group was lower than that of control group (P<0.05). The liver index of Dongxiang green-shelled laying hens was not significantly affected by different levels of selenium sources in additive groups (P>0.05). 3) Chromaticity values of T1 and T3 were lower than those of the control group (P<0.05). PH value in T2 and T3 groups was higher than that in control group (P<0.05), while that in T6 group was lower than that in control group (P<0.05). A higher Se level was detected in all experimental groups (P<0.05). And selenium content increased with the increasing supplemental level, and T8 group had the highest selenium content, which was 0.191mg/kg. 4) The antioxidant values of liver and spleen in experimental groups were significantly higher than those in control group (P<0.05). Serum antioxidant values of experimental groups except T1 were significantly higher than those of control group (P<0.05).Conclusions: Different selenium source levels can regulate physiological and immune functions of Dongxiang green-shelled laying hens. Reasonable supplementation of organic selenium sources, especially selenium-rich yeast and selenium-methionine can improve slaughter performance, meat quality and antioxidant capacity of Dongxiang green-shelled laying hens.This work was supported by two key research and development projects of Jiangxi Province, their project numbers are 20202BBFL63029, JXXTCXNLTS202103 and 20202BBF63011.a, Yiwen CaoaYuan Wanga Institutes of Education, Dalian University, Dalian, Liaoning, China.Background: The big data era has changed society, including education, requiring teachers to possess data literacy skills. However, little research exists on primary school teachers\u2019 data literacy skills, particularly regarding gender psychological differences. This study aims to investigate potential gender psychological differences in data literacy to promote gender equity in developing these skills. Understanding gender psychological differences can enhance teachers\u2019 ability to use data to improve teaching decisions.Subjects and Methods: The study collects data on the completion process and results of assignments of pre-service elementary school teachers of different genders through an online teaching platform that assigns data analysis assignments in education and teaching fields. The study also uses a questionnaire to gain insight into the current gender psychological differences in data literacy of pre-service elementary and secondary school teachers in China. The questionnaire is divided into two parts, the first part is the basic information of the respondents, and the second part is a survey on the current situation of data literacy of pre-service elementary school teachers of different genders. The study conducts a big data analysis using descriptive statistics, t-tests, and regression analysis to analyze the data. Understanding gender psychological differences can enhance teachers\u2019 ability to use data to improve teaching decisions and promote gender equality.Results: This study analyzed the data literacy of pre-service elementary school teachers of different genders in terms of their completion of data analysis assignments, four dimensions of data literacy, and gender psychological differences. The results showed that male pre-service elementary school teachers have slightly higher data literacy than female pre-service elementary school teachers. The mean score of data literacy of male pre-service elementary school teachers was high, while the mean score of data literacy of female pre-service elementary school teachers was moderate. Male pre-service elementary school teachers had a significantly higher mean score than female pre-service elementary school teachers in the core skills dimension. The regression analysis showed that gender was a significant predictor of data literacy after controlling for age and educational level. The findings suggest the importance of addressing gender psychological differences in data literacy and providing targeted training programs to promote data literacy among female pre-service teachers.Conclusions: The study found significant gender psychological differences in specific aspects of data literacy among pre-service elementary school teachers in the context of big data. Despite similar overall levels of data literacy between male and female participants, targeted interventions are necessary to address these differences and improve the data literacy skills of all pre-service teachers. However, the study\u2019s limitations suggest the need for larger, more diverse samples and objective measures of data literacy in future research. Overall, the study contributes to our understanding of gender psychological differences in data literacy and highlights the importance of addressing these differences to effectively navigate the era of big data in education.aAihua Liua School of Preschool Education, Changsha Normal College, Changsha, Hunan, China.Background: To explore the influence of Chinese excellent traditional cultural knowledge and experience level on the development tendency of prosocial behavior of children aged 5-6 based on children\u2019s native mental health education.Subjects and Methods: 260 children from 8 classes of 3 kindergartens in XX Province of China were selected as subjects, including 2 in cities and 1 in township, aged 5-6 years, all of whom were native speakers of Chinese. After conducting the prosocial behavior development tendency evaluation on 260 people, 130 children randomly selected from the main test participated in the interview on the knowledge and experience level of Chinese excellent traditional culture and scored. 7 modules of \u201csocial adaptation\u201d of 5-6 years old in the Chinese version of the Guidelines for the Development of Children Aged 3-6 years old were used as the evaluation tool of prosocial behavior development tendency; Compile the knowledge and experience of Chinese excellent traditional culture and the main test questionnaire. Statistical analysis was conducted for the two types of results.Results: There is a statistical correlation between the level of knowing and experiencing Chinese excellent traditional culture and prosocial behavior development tendency; The difference of prosocial behavior development tendency between high level group and low level group was statistically significant; There is a statistically negative correlation between the level of knowledge and experience excellent Chinese traditional culture and the modules of \u201clike and adapt to group life\u201d and \u201cabide by basic rules of behavior\u201d, which lead to the risk of mental health education.Conclusion: There is a statistical correlation between the level of knowledge and experience excellent Chinese traditional culture and the development tendency of prosocial behavior of 5-6 year old children, and there is a statistical correlation with some high-level prosocial behavior modules; The unsuitable education mode of Chinese excellent traditional culture has educational risks, which have a negative impact on the mental health of preschool children.a, Chen Yea, Xiaoyi Hub, Yan JiangcYun Luoa School of Education, Zhaoqing University, Duanzhou District Zhaoqing, 526061, China, b Faculty of English Language and Culture, Guangdong University of Foreign Studies, 2 North Baiyun Street, Guangzhou, 510420, China, c Psychological Counseling Center, Shanghai University, 99 Shangda Road, Baoshan District, Shanghai, 20444, China.Background: Since 2020, great social changes have occurred, and people\u2019s mental health have been affected due to the COVID-19 pandemic. The COVID-19 outbreak changed the lifestyle of college students significantly. One of the changes is in learning experience. The shift from traditional, offline, face-to-face teaching to online teaching often requires the use of smart devices. Studies have shown that incorrect or problematic smartphone use will lead to depressive symptoms. The model of recovery from depressive symptoms states that while facing malignant life events, individuals with depression will experience higher levels of hopelessness. Thus, people prefer to explain and attribute malignant life events in negatively and individual attribution will affect the level of academic burnout. This study explored the relationship between depressive symptoms and academic burnout among university students during the COVID-19 pandemic.Subjects and Methods: We conducted an online survey with 3,123 undergraduates from universities in Shanghai from March to April 2020. The study used the nine-item Patient Health Questionnaire, Maslach Burnout Inventory\u2013Student Survey, and Positive Psychological Capital Questionnaire. In this study, SPSS 26.0 was used to perform an independent sample t test for groups between students whose academic performance was affected by the pandemic and students whose academic performance was not affected, and the results demonstrated that it was statistically significant. Second, descriptive statistics and correlations for the two groups were analyzed for three dimensions. Third, AMOS 23.0 was used to construct the structural equation model and analyze it to test whether the mediation model was valid.Results: The results showed that depressive symptoms predicted academic burnout. Psychological capital played a mediating role between depressive symptoms and academic burnout. The higher the level of depressive symptoms, lower the level of psychological capital and higher the degree of academic burnout. Furthermore, the effects among students whose academic performance had been affected by the COVID-19 pandemic were significantly different from those whose academic performance had not been affected.Conclusions: These findings have potential implications for practical measures while facing a pandemic. Positive psychological capital is conducive for college students and for the establishment and maintenance of a stable mental health state during the COVID-19 pandemic. Furthermore, in this study, the effect of psychological capital on academic burnout manifests not only in its own characteristics but also from its opposite side: psychological inflexibility, and scholars have explained this mechanism. Thus, depressive symptoms are significant negatively predicted academic burnout through psychological capital and its four dimensions.aHanyang Lia School of Journalism and Communication, Minnan Normal University, Zhangzhou, 363000, ChinaBackground: Federico Fellini\u2019s film Amarcord, released in 1973, presents a vivid and surreal world that captures the essence of a small Italian provincial town in the 1930s. The film combines chaos, absurdity, and ordinary life to create a poetic and humorous narrative. Fellini\u2019s unique aesthetic style reconstructs the dreams, dignity, and poetry of ordinary people during that era. This article explores the carnival poetics theory proposed by Mikhail Bakhtin and its relevance to understanding the imagery in Amarcord.Subjects and Methods: The article applies Bakhtin\u2019s theory of carnival poetics to analyze the film\u2019s imagery. The theory describes carnival as a festival that breaks social norms, allowing for subversion and renewal. It emphasizes the universal, inclusive, festive, and dual nature of carnival laughter. The analysis focuses on the structure of Amarcord, the carnival-like atmosphere throughout the film, and its portrayal of universal laughter, festiveness, and duality.Results: The analysis reveals that Amarcord exhibits the key features of carnival poetics as defined by Bakhtin. The film\u2019s structure is a mosaic-like collection of stories that portray the town\u2019s life in a comical manner. Laughter permeates the film, representing a carnival-style banter that is universal and inclusive, embracing all aspects of life. The festive atmosphere in the film reflects a connection between the cycle of seasons and the cycle of human life, emphasizing rebirth and renewal. The duality in Amarcord is evident in its use of laughter to both reflect and criticize societal norms, ideologies, and institutions. This duality offers a thought-provoking perspective on the world, inviting viewers to challenge rigid and stagnant beliefs.Conclusions: Fellini\u2019s Amarcord effectively captures the spirit of carnival through its imagery and narrative. The film\u2019s carnival poetics, influenced by Bakhtin\u2019s theory, presents a world that is simultaneously ordinary and extraordinary. The universal laughter, festiveness, and duality depicted in the film challenge established hierarchies and ideologies, providing a profound reflection on human existence. Amarcord\u2019s exploration of the carnival spirit offers viewers an opportunity for introspection, renewal, and a deeper understanding of the complexities of life. By engaging with the film\u2019s carnival imagery, audiences can experience a psychotherapeutic effect that encourages critical thinking and reevaluation of societal norms. Ultimately, Amarcord stands as a timeless masterpiece that invites audiences to revisit its poetic images and contemplate the inherent truths of the human experience.a, Yi FengaHongsu Chena School of Art and Design, Beijing Forestry University, Beijing, China.Background: The increasing abundance of material goods and the rising health awareness of the whole population. Healthy living has become the new trend, and healthy eating is an important part of it. Healthy cooking not only reduces the loss of nutrients in food, but also prevents cancer and can effectively reduce the incidence of diseases such as high blood sugar and high blood cholesterol. Maintaining a healthy diet over time reduces the risk of obesity, cardiovascular disease, diabetes and other chronic diseases. Physical health has a positive effect on mental health. At the same time, healthy eating habits can improve the user\u2019s sense of pleasure and contribute to mental health. With the Chinese eating habit of three meals a day, rice cooker is an essential household appliance. Kansei engineering theory is widely used in many fields and provides new ideas for understanding the shape of the user\u2019s favourite smart rice cooker.Subjects and Methods: Based on the design method of Kansei engineering theory, the product appearance design strategy of intelligent rice cooker is studied. Establish a product sample space through market research, extract product design elements, collect perceptual image vocabulary, and then measure users\u2019 perceptual needs using semantic difference method. Key perceptual image words are obtained through factor analysis. Then perform partial correlation analysis on the results of the above methods to identify the corresponding relationship between factors and perceptual image space. Finally, obtain the corresponding relationship between the user\u2019s emotional needs and the design elements of the intelligent rice cooker.Results: Translate the mapping relationship between emotional needs and design elements into design strategies. The more exquisite the smart rice cooker looks outside, the easier it is to win the favor of users. Users choosing smart rice cookers can effectively improve their nutritional level and dietary health, ensure their physical and mental health can balance development, and achieve the goal of physical and mental health.Conclusions: This research mainly uses the research methods of Kansei engineering to guide the appearance design of smart rice cookers, effectively providing new design ideas for the design and development of smart rice cookers, which is conducive to improving consumers\u2019 satisfaction with the appearance of smart rice cookers.a, Lili Huanga, Xinmin Yanga, Di Wua, Yan LiaLixin Bua Chengde College of Applied Technology, Chengde, 067060, China.Background: The objective of the study is to establish an evaluation system that can mobilize teachers to devote themselves to education, thus cultivating a generation of the new era with overall development of moral qualities, intellectual ability, physical fitness, aesthetic appreciation, hard-working spirit, and healthy mentality. Guided by establishing scientific education objectives to ensure a correct development direction of education, the establishment of the new system starts from the perspective of guiding the psychological health of teachers and students, and shaping their positive qualities. Aimed at cultivating the positive power and qualities of teachers and students, developing their psychological potential, and promoting a full, vibrant, and happy life for them, the evaluation features \u201cimproving result, strengthening process, exploring added value, and improving comprehensiveness\u201d.Subjects and Methods: Firstly, based on modern information technology, the study aims to comprehensively showcase the positive psychological factors that lead teachers\u2019 professional growth and students to possess a scientific career, energetic emotions, optimistic personality, and other positive psychological factors. The experimental goals of the study are ensured by scientifically and accurately identifying the core elements that affect teachers\u2019 educational ability and students\u2019 physical and mental health, developing scientific and effective intervention strategies, increasing positive emotions among teachers and students, shaping optimistic personalities, and tapping into psychological potential, so as to maintain the best state of their lives and to achieve happiness in education. Secondly, strategies and design plans will be formulated in research and practice from the aspects of core goals, consensus on concepts, institutional construction, team building, practical promotion, expected results, and demonstration and promotion. A scientifically sound new evaluation model will be formed ultimately, which will guide the implementation of the fundamental task of cultivating morality and virtues, establish standards for improving students\u2019 physical and mental health education and guide the promotion of \u201c Educating Six Domains Simultaneously\u201d. This model will further lay a foundation for improving the quality control system, adding impetus to the modernization of governance in vocational colleges.Results: The \u201cFive Ones\u201d goals of the reform: to establish a system; to cultivate a new generation; to generate a batch of achievements; to foster virtue through education; to develop a new evaluation model that guides teachers and students to establish correct values and promote the development of physical and mental health.Conclusion: Guided by the overall development of moral qualities, intellectual ability, physical fitness, aesthetic appreciation, hard-working spirit and healthy mind, the new evaluation system targets at guiding teachers to establish the goal of \u201c cultivating morality and virtues \u201c and leading students to coordinated development of thought, body, mind, academic ability, and personality. The model will fully utilize information technology to extract core elements that affect teachers\u2019 professional development and students\u2019 physical and mental health. An internal evaluation system will be formulated through Directionality Principle in psychology, helping teachers and students better unleash their potential and creativity. The system highlights the distinct characteristics of vocational education as a type of education, which will promote the high-quality development of the college and play a leading and exemplary role in evaluation reform in corresponding regions.Research Project of Social Science Development in Hebei Province in 2022 (Project category: key project. Project number: 20220101003).a, Han YanbXiaoyan Chena School of Economics and Management, North China University of Technology, Beijing, China, b School of Management, Xiamen University, Fujian, China.Background: In the context of China\u2019s green development strategy system, corporate environmental governance and executives\u2019 management mode both face great challenges. How to achieve excellent business performance and environmental performance in the market competition raises many questions about executive psychological anxiety. Corporate executives show many unhealthy psychological problems and psychological anxiety, such as short-termism and utilitarianism, they are eager to pursue short-term corporate value and make decisions that harm the environment. It is urgent for enterprises and the whole society to find correct solutions to achieve personal development, sustainable economic and social development. For example, when corporate environmental violations occur, the government\u2019s environmental penalties and enforcement can timely ease such psychological anxiety problems of executives and improve their correct cognition of sustainable environmental governance, and enhance their positive attitude of other business management behaviors such as corporate tax payment.Subjects and Methods: This paper aims to explore the impact of government environmental penalties on corporate tax burden and executive psychological anxiety. This paper subdivides environmental penalties into two dimensions: environmental penalty frequency and environmental penalty intensity based on the breadth and depth of environmental penalties. Then I take Chinese listed firms in heavy pollution industries as research samples, and use OLS regression analysis to test the impact of environmental penalty frequency and environmental penalty intensity on corporate tax burden. Finally, I conducted field interviews with some executives to analyze the impact of environmental penalties and law enforcement on their psychological anxiety.Results: The study finds that both the frequency and intensity of government environmental penalties have a significant positive impact on corporate tax burden, indicating that the more environmental penalty frequency and the greater environmental penalty intensity, the higher level of corporate tax burden. Further analysis shows that the direct influence path of the above effect is the increase of corporate tax payment rate and corporate income tax burden, and the indirect influence path is the decrease of tax shield effect of corporate new bank loan. In addition, the interview study finds that executive psychological anxiety about short-termism and utilitarianism has been effectively alleviated after the government\u2019s environmental penalties.Conclusions: The results show that environmental law enforcement can help ease executive psychological anxiety problems in terms of corporate sustainable development, and enhance their positive attitude of business management behaviors such as environmental sustainability and tax payment. This study reminds executives to focus on long-termism rather than short-termism. In addition, this study has important practical significance and enlightenment for promoting the multi-party co-governance of environmental governance by the government, tax authorities and firms. I suggest that the government, tax authorities and firms should make joint efforts to create a good environmental governance system.This research was supported by Research Foundation Project of North China University of Technology (Grant No. 110051360002).a, Dandan Wangb, Yulan YubJun Luoa Guangdong University of Science and Technology, Dongguan, China, b Department of Psychology/ Research Center for Quality of Life and Applied Psychology, Guangdong Medical University, China.JL and DW contributed equally to this work.Background: Adverse childhood experiences (ACEs) are associated with pool mental health, whereas few studies paid attention to the potential buffers. This study aims to: (a) establish predictive relationships between ACEs and character strengths (CS); and (b) exam the joint contribution of ACEs and CS to predict depressive symptoms.Subjects and Methods: We used systematic sampling technic to get samples and performed a self-administered survey among students at a university in southern, China. We analyzed data through descriptive statistics, logistic regression model and mediating effect analysis.Results: Linear regression model in the present study showed that history of ACEs predicted lower relationship (p=0.049), enthusiasm (p=0.009), vitality (p=0.0002) domains of character strengths significantly, while vitality (p=1.23e-08) and justice (p=0.03) domains predicted lower depressive symptoms significantly. Vitality domain of character strengths was a full mediator in the relationship between ACEs and depressive symptoms among university students. Indirect effect was 0.25, 95%CI , and direct effect was 0.21, 95%CI , and total effect was 0.46, 95%CI . Proportion of mediation was 54%.Conclusions: Vitality domain of character strength mediated the effect of ACEs on depressive symptoms fully. The finding provided mechanism explanation and empirical evidence for future intervention direction among university students with ACEs. However, caveats regarding recall bias, social desirability bias, and lack of generalizability are also recommended in the interpretation of the study findings.This research was funded by Guangdong Provincial Philosophy and Social Science Planning Project (GD22XJY25) and Postgraduate Education Innovation Project of Guangdong Province (2022JGXM106).aZemei Shena School of Medicine, Chongqing Institute of Engineering, Chongqing, China.Background: The purpose of this paper is to explore the feasibility of cross-regional coordinated development and cooperation between private universities in the two cities under the drive of the Chengdu-Chongqing economic circle, and its influence on students\u2019 psychological health, and to sort out the problems of students\u2019 psychological health in this process.Subjects and Methods: Literature research method was used to study and analyze the present situation, theoretical basis, driving factors of cross-regional collaborative development of private universities in Chengdu-Chongqing Economic Circle, as well as the importance, convenience and substantive significance of factors influencing students\u2019 psychological health, main problems, and cross-regional development of professional education on the maintenance of students\u2019 psychological health, in the hope of helping private universities in Chengdu-Chongqing Economic Circle achieve cross-regional coordinated development, and also to alleviate students\u2019 psychological problems such as learning pressure and learning anxiety in the process of cross-regional development of professional education in private universities in both places, so as to maintain the psychological health of students in private universities in both places.Results: The study found that private universities are an important part of higher education in China. Under the drive of the Chengdu-Chongqing Economic Circle, a study on the development status of private universities in the Chengdu-Chongqing economic circle and the promotion of cross-regional coordinated development between private universities in the two cities can better promote the scale and cluster-based management of private universities in the Chengdu-Chongqing economic circle, improve the quality of education, and provide more comprehensive talent and intellectual support for the current construction of the Chengdu-Chongqing economic circle. Meanwhile, discussing the influence of the cross-regional development of professional education in private universities in the two places on the maintenance of students\u2019 psychological health can also provide some help for the training of talents in the two places and escort the smooth cross-regional coordinated development of private universities in Chengdu and Chongqing.Conclusions: Private universities in the Chengdu-Chongqing Economic Circle should strengthen cross-regional coordinated development, learn from each other\u2019s strengths, and progress together. Meanwhile, due to the challenges that students may face in the process of cross-regional coordinated development, such as poor resilience, fear of learning, high learning pressure, and anxiety, it is important to pay attention to and jointly maintain students\u2019 psychological health.Fund Project: \u201cResearch on Influencing Factors, Mode Construction and Realization Path of Cross-regional Coordinated Development of Private universities in Chengdu-Chongqing Economic Circle\u201d in Research and Planning Project of Humanities and Social Sciences of Chongqing Education Commission in 2022 (22SKGH502); The offline \u201cgolden course\u201d of Chongqing Institute of Technology\u2019s \u201cGolden Courses\u201d Construction Project in 2021\u2014Market Survey (KC20210323).aJie Baia Zi Jie Medical Beauty, Beijing 100006, China.Objective: This study aims to investigate the effect of lower eyelid blepharoplasty via transconjunctival route combined with nano fat transplantation in orbital rejuvenation.Methods: Retrospective analysis was conducted on 126 orbital rejuvenation surgery patients admitted in our hospital from August 2019 to August 2021, who were divided into combined surgery group and conventional surgery group according to the treatment approach. Patients in the combined surgery group received lower eyelid blepharoplasty via transconjunctival route combined with nano fat transplantation, including a total of 76 patients, and patients in the conventional surgery group received lower eyelid blepharoplasty via transconjunctival route, including a total of 50 patients. The recovery results of the two groups at 6 months after surgery were observed, and the tear trough deformity scale scores, patient satisfaction and postoperative complication rates of the two groups were compared.Results: The postoperative TTRS scores decreased in both groups, with more obvious decrease in the combined surgery group than in the conventional surgery group, showing significant difference between the two groups (P < 0.05). The surgical satisfaction rate was 96.05% in the combined surgery group and 80.00% in the conventional surgery group, showing statistically significant difference between the two groups (P < 0.05). The incidence of postoperative complications was 11.84% in the combined surgery group and 24.00% in the conventional surgery group, showing no statistically significant difference between the two groups (P > 0.05).Conclusion: Lower eyelid blepharoplasty via transconjunctival route combined with nano fat transplantation has good efficacy in orbital rejuvenation, with patients\u2019 symptoms significantly alleviated. The surgery has certain safety, and patients have high satisfaction with the postoperative results.a, Zhihui Yangb, Zhifei Songa, Xiaobo TaoaXihuang Laia Graduate School, North China University of Technology, Beijing, China, b Brunel London School, North China University of Technology, Beijing, China.Background: Improving postgraduates\u2019 mental health will be implemented as an important reference factor for the layout of degree authorization points. The integration between industry and education is an important way to guarantee postgraduates\u2019 mental health. Those joint training bases built on the mutual collaboration provide strong guarantees for graduates in shaping their mental health, cultivating the application ability of basic theory and expanding the field of vision of industry.Subjects and Methods: This paper proposes a strategy of multi-dimensional mutual encouragement and integration, multi-mode construction approaches, as well as multi-dimensional evaluation and guarantee system, which can better solve the problems of shortages of resources, lack of mutual trust in school enterprise cooperation, imperfect operation mechanism and system, which exist widely in local universities and have significant impact on postgraduates\u2019 mental health. In addition, combined with the operating experience of the joint training base for graduate students in relevant universities, an overall management scheme of the bases is given from the viewpoint of base creation, daily management and sustainable development of bases in order to provide practical implementation reference for the construction of bases among local universities.Results: The construction of the joint training base for graduate students of the school has achieved initial results. Up to now, the number of off-campus joint training bases for graduate students has grown from 8 at the beginning to 180 at present, and the production and education integration joint training base has truly achieved a win-win situation between school and enterprise, both of which improve postgraduates\u2019 mental health to a great extent.Conclusions: To improve postgraduates\u2019 mental health, universities should start from the three aspects of \u201cmulti-mode training base\u201d, \u201cmulti-faceted training guarantee\u201d and \u201cmulti-dimensional evaluation system\u201d to build a joint training base construction mode of \u201cmulti-dimensional mutual encouragement\u201d. With the overall goal of \u201cprofessional knowledge plus ability expansion\u201d, the school has established a graduate ability pool and provided ability reports for graduate students. \u201cMulti-mode training base\u201d, \u201cmulti-faceted training guarantee\u201d and \u201cmulti-dimensional evaluation system\u201d have formed a new model for the construction of joint training bases for graduate students in local universities, and the three influence and promote each other to achieve pluralism and unity, which can effectively mobilize the enthusiasm of enterprises and participate in the construction of practice bases, and improve postgraduates\u2019 mental health significantly.This article is a phased research result of the 2021 ideological and political work research topic of Beijing colleges and universities by the Education Work Committee of the Beijing Municipal Committee of the Communist Party of China and Beijing Higher Education Teaching Reform and innovation project, \u201cConstruction and Implementation of an Evaluation System for the Comprehensive Development of Postgraduates Oriented by Ability Cultivation\u201d (Project No.BJSZ2021ZC63).a, Yuan Songb, Tao Liub, Jiaxuan Shena, Xudong Lianga, Jing Qiaoa, Keyu Zhua, Shenghua LibTuanzhuang Zhanga Gansu University of Traditional Chinese Medicine, School of Traditional Chinese Medicine, Lanzhou 730000, Gansu Province, China, b Gansu Hospital of Traditional Chinese Medicine, Hand Surgery, Lanzhou 730050, Gansu Province, China.Background: This study aims to investigate the effect of Xiaozhong Zhitong mixture on flap ischaemia-reperfusion (I/R) injury and its action mechanism.Methods: Sixty SPF SD rats were randomly divided into six groups (n=10 each): sham operation group, model control group, Xiaozhong Zhigang mixture group, p38MAPK inhibitor group, PPAR\u03b3 inhibitor group, and NF-\u03baB inhibitor group. Random flaps (8cm\u00d72cm) were constructed on the back of rats except those in sham operation group. After operation, the flaps were sutured in situ with 3-0 suture to establish the flap I/R injury model. At 7 days after surgery, the rats were observed morphologically and the levels of TNF\u03b1, IL-6 and intercellular adhesion molecule-1 (ICAM-1) were measured. Western blotting was used to detect the protein expression of p38 MAPK-PPAR\u03b3/NF-\u03baB pathway. The whole genome chip was used to screen the differentially expressed genes after treatment, and the expression patterns of the differentially expressed genes were analyzed by clustering, GO and KEGG. The differentially expressed genes and the biological processes and the most important signal transduction pathways in the process of Xiaozhongzhipain mixture in the treatment of flap ischemia reperfusion injury were screened. The highest and lowest temperatures of the flaps of rats were detected by infrared thermography, and the edema and leukocyte infiltration of the flaps were observed by hematoxylin-eosin staining.Results: On POD 7, the survival area of rats in the Xiaozhong Zhitong mixture group, p38 MAPK inhibitor group, and NF-\u03baB inhibitor group increased. The levels of TNF\u03b1, IL-6 and ICAM-1 were decreased by Xiaotumorzhidong mixture, p38 MAPK inhibitor and NF-\u03baB inhibitor. Xiaozhong Zhutong mixture can up-regulate the expression of PPAR\u03b3 and I\u03baB\u03b1, and down-regulate the expression of p38MAPK and NF-\u03baB. The whole genome microarray analysis showed that the attenuation of flap I/R injury by Xiaotumoranalgesic mixture was related to inflammatory response, immune system process regulation, cell proliferation, cell adhesion and neutrophil migration. Xiaotumorzhidong mixture can alleviate flap I/R injury in PPAR signaling pathway, MAPK signaling pathway and NF-\u03baB signaling pathway.Conclusions: The Xiaozhong Zhitong mixture may reduce I/R injury in rat flaps by modulating the p38 MAPK-PPAR\u03b3/NF-\u03baB pathway.This work was supported by a grant from the Regional Project of the National Natural Science Foundation of China (Grant No.81860863).a,b, Chunyan Daia,c,dChaoyan Denga Rattanakosin International College of Creative Entrepreneurship, Rajamangala University of Technology, Phuttamonthon, Nakhon Pathom 73170, Thailand, b School of Chemistry and Materials Engineering, Liupanshui Normal University, Liupanshui, Guizhou 553004, China, c School of Management Science and Engineering, Chongqing Technology and Business University, Chongqing 400067, China, d Development Information Management Engineering Technology Research Center in Chongqing, Chongqing 400067, China.Background: As the social progress and economic development have brought about an increasingly warming climate, countries have promised their carbon neutrality goals, and China has solemnly promised to the world that it will achieve carbon neutrality in 2060. For this reason, the relevant carbon emission accounting and scenario prediction are particularly important to provide the technical and theoretical basis for urging the low-carbon transformation of relevant industries. Under the current local policies of industrial revitalization and characteristic tourism development, it is of great significance to analyze and study the carbon emission intensity and residents\u2019 health under the vision of \u201ccarbon neutrality\u201d for Liupanshui as an old industrial city in the former third-line construction, the Coal Capital in the Regions South of the Yangtze River and the Cool Capital of China.Subjects and Methods: In this study, the energy consumption and production carbon emissions of four administrative regions including Zhongshan District, Shuicheng District, Liuzhi Special District, and Panzhou City, which constitute Liupanshui City, were calculated from 2011 to 2020. The carbon emissions increment model of Liupanshui City was constructed by the Logarithmic Mean Divisia Index (LMDI) method, and the impact of carbon emissions on residents\u2019 health in Liupanshui City was studied through qualitative analysis. On this basis, the spatial distribution model of carbon emissions in Liupanshui was constructed by using big data, energy consumption data and infrastructure spatial distribution data. The driving force and influencing factors of carbon emissions in Liupanshui were analyzed by using historical data of Liupanshui, and the internal mechanism of carbon emissions, socio-economic factors and spatial form indicators was explored.Results: The results show that in recent ten years, the overall trend of carbon emissions in Liupanshui is wavy, the trend of carbon emissions per capita is similar to the intensity of carbon emissions, and the intensity of carbon emissions shows a steady downward trend. The empirical analysis of carbon emission increment of energy consumption in Liupanshui shows that the carbon emission increment caused by economic scale effect first increases and then decreases, the carbon emission increment caused by regional structure effect changes little, the carbon emission increment caused by technological progress effect is sometimes positive and sometimes negative, and the carbon emission increment caused by energy consumption structure effect is similar to technological progress effect. Extreme weather caused by greenhouse gases indirectly harms people\u2019s physical and mental health, induces an increase in the incidence of cardiovascular and respiratory diseases, and accelerates the spread and spread of epidemic diseases. Based on people\u2019s recognition, local residents are actively making improvements towards a healthier lifestyle. In addition, the government is also strengthening the introduction of relevant low-carbon policies.Conclusions: The above research results will provide data support and decision-making suggestions for energy conservation and emission reduction, urban planning, and related scientific research, and policy suggestions on how to implement energy conservation and emission reduction planningas well as feasible solutions on how to achieve the goal of \u201ccarbon neutrality\u201d in Liupanshui in the future, a good environment for physical and mental health of Liupanshui residents.The authors gratefully acknowledge the financial support of Guizhou Social Sciences \u201cTheoretical Innovation Project\u201d special fund supported project (No. GZLCZB-2022-3-5-1); Philosophy and Social Science Project of Liupanshui City (No. lpsskllh-2022-76).a, Zhen RenaMingmin Hea Sichuan University Jinjiang College, Meishan 620860, China.Background: The purpose of this study was to investigate the effectiveness of two embodied learning approaches, finger-tracking, and observation-tracking, in Chinese character learning and to explore their relationship with learners\u2019 working memory and students\u2019 anxiety.Subjects and Methods: A total of 31 undergraduate students from non-native Chinese speaking universities, of whom 7 were male and 24 were female, participated in our study. The working memory capacity was measured using the Visual Patterns Test (VPT). The study materials included 36 kanji (12 kanji for each teaching style). We measured the effectiveness of learning through two rounds of tests: immediate post-test and delayed post-test. The effectiveness of finger tracking and observational finger tracking in Chinese language learning was investigated empirically by comparing the performance of the finger tracking group, the observational tracking group and the control group on the recognition and cue recall tasks in the post-test and the delayed post-test. As an indication of experienced anxiety during the learning phase and directly after each of the post-test phases participants were questioned on a 7-point anxiety scale.Results: We found that: 1) the observation tracking learning method could improve the performance on the delayed post-test during the learning of Chinese characters for beginners, resulting in better retention of learning effects and was effective only for learners with low working memory capacity; 2) the finger-tracking learning method had a negative impact on performance in Chinese character learning, especially for learners with low working memory capacity; 3) students in the observation tracking task report significant less anxiety compare to in the finger-tracking learning task and control learning task; students in the finger-tracking learning task report the higher anxiety than in other tasks.Conclusions: The results of this study suggest that when designing instruction for Chinese language learning, instructors should choose a reasonable teaching style. Observational tracking learning as a form of embodied learning helps Chinese language learning and reduces students\u2019 anxiety.The finger-tracking learning method had a negative impact on performance and increased students\u2019 learning anxiety, especially for learners with low working memory capacity.aShiyong Songa School of Political Science and Law, Qilu University of Technology (Shandong Academy of Sciences), Jinan, Shandong 250353, China.Background: The management and legal protection of trade secrets is the common goal of all countries. At the same time, however, the issue of trade secrets profoundly reflects the psychological game between obligees, obligors and infringers. In judicial practice, a large number of infringement cases are actually done maliciously by the infringer based on the unhealthy psychology of prying, which also causes psychological anxiety to the business secret manager that he may leak at any time. Metaverse, as a new concept, has produced great social influence in the economic field of various countries. Blockchain protection of trade secrets is considered to be the best mode in the meta-universe. The characteristics of decentralization and traceability of Blockchain technology can limit the infringer\u2019s unhealthy psychology of snooping, reduce the inner anxiety of trade secret managers, improve their psychological satisfaction and professional happiness, and promote the benign development of trade secret protection.Subjects and Methods: Taking Russia and India of the Shanghai Cooperation Organization for reference, through literature review and empirical analysis, this paper probes into various legal problems faced by countries with trade secret laws and countries without special trade secret protection laws in the two-way psychological game between trade secret owners (managers) and infringers who apply this law. Compared with China\u2019s anti-unfair competition law as the main mode of regulating trade secrets, Russia has a special trade secret protection law. India has not included trade secrets in its intellectual property protection system. India\u2019s trade secret protection mainly provides comprehensive protection through its criminal law, contract law and information technology law. In the face of different legal provisions, anyone will always choose his own behavior mode according to the higher and closer standards of his psychological happiness index. The purpose of this study is to explore the psychological obstacles faced by users at all nodes of Blockchain under the cosmic background , as well as various legal risks and coping strategies at this time.Results: Although the meta-universe has exerted great social influence in the economic fields of various countries, on the whole, the meta-universe is only a beautiful idea under the kidnapping of various kinds of capital, and it does not have the conditions for special legal regulation. Users of Metaverse can\u2019t completely move freely without Blockchain technology, which has caused their psychological limitations in behavior, which is reflected in the protection of trade secrets. They don\u2019t have a higher sense of happiness and satisfaction psychologically because of Blockchain technology, but they continue to need to guard against infringement at all times. At the same time, due to the transnational characteristics of users under the background of Blockchain technology and meta-universe, this psychological fear will be further amplified.Conclusions: Compared with the traditional environment, the meta-cosmic scene is more likely to cause more psychological obstacles to the trade secret owners, and generally has a distrust of new technologies, thus affecting their normal social communication ability. At present, the manipulation of the Metaverse by capital magnifies people\u2019s abnormal snooping psychology and unhealthy psychology of illegal possession of social public assets, which is extremely unfavorable to the protection of trade secrets.This work was supported by: Shandong Philosophy and Social Science Planning Project---Study on the Overall Risk of Blockchain Protecting Trade Secrets in Meta-Universe (Grant No.22CFXJ03); The major special project of regional and country studies of Shanghai Cooperation Organization of Qilu University of Technology (Shandong Academy of Sciences) (Grant No.2022-122).a, Wenjuan Yana, Dixia Qia, Hui Yaoa, Shuxian Lia, Juan Zhaoa, Nan Kanga, Rongyan Zhanga, Aiqin Xua, Fang Liua, Fang Liua, Juan Zhaoa, Yinghui Pana, Yongfang Fenga, Ningli Suna, Jing Xua, Shunda Liua, Wenjuan Zhanga, Guilian MaaYuxia Zhua Ningxia Hui Autonomous Region People\u2019s Hospital, Yinchuan City, Ningxia, 750002, ChinaBackground: To explore the effect of knowledge-belief-practice model on influencing factors of quality of life in elderly patients with acute myocardial infarction (AMI).Subjects and Methods: 124 elderly patients with AMI were randomly divided into control group and observation group with 62 cases in each group. The control group was given routine nursing through clinical pathway, while the observation group was given questionnaires by patients\u2019 general questionnaire and quality of life rating scale (WHOQOL-BREF) on the basis of the control group, and the results were analyzed by single factor and multivariate analysis.Results: In the observation group, sex, marital status, educational level, heart function at admission, hospitalization times and payment methods of medical expenses were the main factors affecting the quality of life of elderly AMI patients. Logistic regression analysis showed that resilience (CD-RISC), health belief (CHBMS), depression (SDS) and anxiety (SAS) were the influencing factors of comprehensive scores of elderly AMI patients. Taking the above influencing factors as the main problems of intervention research, the KAP model was applied to intervene, and the effects of the two groups before intervention and one week after intervention were compared. After one week of intervention, the scores of CD-RISC and CHBMS in the observation group were 76.89\u2009\u00b1\u20096.82 and 141.12\u2009\u00b1\u200922.28 respectively, which were higher than those in the control group (P < 0.05); SDS and SAS scores of patients in observation group were lower than those in control group (P < 0.05). After the intervention, the scores of knowledge, belief and behavior in the observation group were higher than those in the control group (P < 0.01).Conclusions: KAP model can effectively improve the resilience level, health belief and negative emotion of elderly AMI patients.This work was supported by Ningxia Hui Autonomous Region Science and Technology Benefiting the People Project (2022KJHM0020).a, Qianyu Zhuangb, Junyi Duanc, Jin Xuc, Zhanbiao Zhaoa, Ping ZhangaJianlei Wanga AECC Beijing Institute of Aeronautical Materials, Beijing, China, b National Innovation (Qingdao) High speed Train Material Research Institute Co. LTD, Qingdao, China, c School of Environmental Science and Safety Engineering, Tianjin University of Technology, Tianjin, China.Background: With the rapid development of the construction industry, the number of safety accidents is increasing. Safety psychology is a science that studies people\u2019s psychological state and its changes in production activities. It can point out the direction for how to mobilize the enthusiasm of construction workers to reduce the occurrence of safety accidents. Therefore, how to analyze the psychological problems of construction workers from the perspective of safety psychology, find out the main conflicts causing psychological problems and put forward safety strategies has become a new research task.Subjects and Methods: Based on safety psychology, this paper analyzes and points out the unsafe psychology and occupational health problems of construction workers in the construction industry, as well as the conflict relationship between individuals, families and enterprises (industries) environment, etc., and puts forward safety strategy suggestions for the application of safety psychology in the construction industry. It can achieve the purpose that construction workers have correct occupational health and safety psychology and reduce safety accidents, thus promoting the healthy development of individuals and enterprises.Results: Before the accident, the construction workers generally had fluky psychology, burnout psychology, rebellious psychology, paralysis psychology and conformity psychology, and the prominent occupational health and safety psychological problem was burnout psychology. There are many factors that cause unhealthy psychological problems, such as individuals themselves, families, and enterprises (industries). All parties should pay more attention to the psychology of construction workers, be good at self-regulation, build a harmonious family relationship, and improve the mechanism of enterprises (industries), starting from the maintenance of mental health and the implementation of safety strategies.Conclusions: With regard to the safety strategy of construction workers in the construction industry, it is necessary to explore the psychological activity rules and contradictions of construction workers under the guidance of the theory of safety psychology, so as to accurately predict the unsafe behaviors of construction workers, adjust and deal with unsafe psychology with scientific methods, prescribe the right medicine, and avoid unsafe psychological problems and safety accidents. The safety strategy based on safety psychology has very important theoretical and practical significance for reducing the frequency of safety accidents in construction.a, Lei Wanga,bRong Huanga School of Physical Education, Shaanxi University of Technology, Hanzhong, 723001, Shaanxi, China, b School of Computer Science and Engineering, Xi\u2019an University of Technology, Xi\u2019an, 710048, Shaanxi, ChinaBackground: The World Health Organization has recently recommended the amount of aerobic exercise for teenagers. However, the guidelines are more instructive than practical, and cannot be directly used as the individualized aerobic fitness program for college students. Under the background of \u201ccombination of sports and medicine\u201d, the principle of \u201csuiting the remedy to the case\u201d followed by medical rehabilitation work is also applicable to the sports fitness programs. Meanwhile the manner in which to apply machine learning to individualized aerobic exercise programs has attracted more and more attention. In this research it assumed that the relationship between human body data indicators and aerobic fitness program could be expressed by an artificial neural network.Subjects and Methods: The research aimed to verify the feasibility and effectiveness of constructing the functional relationship between college students\u2019 static body data and aerobic fitness programs based on artificial neural network, and realize the individualized aerobic fitness activities for college students with the assistance of smart bracelets and mobile phones. 60 normal college students were recruited from Shaanxi University of Science and Technology to measure their static body data, meanwhile the test for heart rate under the aerobic exercise with different intensity and duration was carried out by smart bracelet. Based on the target heart rate (THR), a 3-layer artificial neural network between the static body data of the experimental object and the aerobic fitness program was constructed.Results: We had 52 participants to complete the experiment on schedule. The 3-layer artificial neural network was constructed by Back Propagation Algorithm which was iterated 5 times, and the relationship between human body indicators and running program was represented by the artificial neural network with 17 parameters in hidden layer and 10 parameters in output layer. However, because of the neglect of the lifestyle and chronic diseases for participant, 2 of 20 college students who engaged in the final test got unexpected result.Conclusions: The college students could achieve THR in exercise according to motion speed and duration of running provided by the artificial neural network without fitness professional. Considering the effectiveness, convenience and popularity, the running was selected as the aerobic fitness event, but there were many other aerobic exercises we could use. The 3-layer artificial neural network could be further optimized through multi-dimensional information obtained from different channels and multi-objective analysis method, by which it could promote the applicable scope of the 3-layer artificial neural network. At the same time, with the rapid development of cloud computing, big data and 5G technology, more complicated, efficient and convenient intelligent exercise prescription system will be constructed.This work was supported by a project grant from the Western China project of National Natural Science Foundation of China (Grant No.21XTY012).a, Junfan XiaoaRui Tana College of Humanities & Social Sciences, Huazhong Agricultural University, Wuhan, China.Background: Patients\u2019 trust deficit in doctor-patient relationships in China has caught research attention in recent times. The risk of trust between doctors and patients makes patients often suffer from anxiety, hesitation and other Negative emotions, which leads to the failure of diagnosis and treatment. Therefore, it is of great practical significance to explore the basis of trust between doctors and patients.Subjects and Methods: This study presents a framework for the effects of patients\u2019 risk resistance regarding patient trust, having applied multivariate regression models to analyse the causes of the patient trust deficit, based on data from the China Family Panel Studies .Results: It was shown that in terms of economic resilience, more comprehensive medical insurance and higher income among patients represented their capability to resist the economic risks induced by medical care, and that their willingness to establish good patient trust was stronger. In terms of social resources, higher social status levels and more stable work statuses improved patients\u2019 capability to handle the risk of medical resources and gave them the confidence to receive good medical services, which positively influenced the establishment of patient trust. With respect to health literacy, sound physical health conditions improved patients\u2019 capability to handle life safety risks.Conclusions: The results show that the lack of patient risk tolerance is the deep-seated reason it is difficult to build patient trust, which is reflected in the fact that the level of patient trust decreases when patients\u2019 economic resilience, social resources, and health literacy are insufficient. Therefore the government should embed the improvement of patients\u2019 risk resistance into all aspects of development of the medical field, pay attention to the assessment of risks faced by patients, and promote the sustainable development of patients\u2019 risk resistance.This study was supported by the Fundamental Research Funds for the Central Universities (Grant numbers: 2662021JC007).a, Tian LiaXueyan Jina College of Arts, Gansu University of Political Science and Law, Lanzhou 730070, China.Background: The construction of the Mogao Caves was influenced by Indian cave temples and embodies the characteristics of traditional Chinese wooden architecture, representing a process of localization of cave architecture. The architectural structure and spatial form exhibit distinct historical and regional features under the influence of geological environment, excavation technology, and subjective psychological perception of cave space by social groups. Forced by the expectation of survival, the lower class people can extricate themselves from the suffering of reality by worshiping Buddha piously, while the grottoes provide people with a space for spiritual practice, chanting and worshiping. The solemn and sacred atmosphere in the space promotes the frescoes of good and evil causality, and the dignified colored sculptures can heal people\u2019s psychological and physiological health, build their values and even promote the renewal of personality changes, help improve their psychological resilience, reduce stress and anxiety, improve their psychological emotions, and place beautiful expectations on life. It has positive significance in mental health and psychological rehabilitation.Subject and Methods: The shape of the main chamber roof in Mogao Caves is mainly divided into flat top, even Ceiling, herringbone drape and truncated pyramidal ceiling top. The number of caves Pyramidal Ceiling top is the largest, it was found that its spatial volume and top slope value showed an increasing trend. It provides a broad field of vision and enhances fluidity, making it possible to create large-scale three-dimensional sculptures and murals. In addition, the transparent and spacious top of truncated pyramid ceiling of cave forms a perspective effect with algae wells that progressively recede from outside to inside at different levels, extending users\u2019 psychological space while reducing feelings of psychological oppression. This is conducive to creating a solemn, peaceful, profound and sacred heavenly world. Devout believers will be integrated with the cave space and consciously immersed in the quiet and harmonious space atmosphere, so that their body and mind can be relieved and their spiritual and emotional sustenance can be relaxed; So as to alleviate the psychological pressure, anxiety, helplessness and other negative emotions brought by real life, maintain psychological balance and ensure mental health.Results: Although ancient people lacked systematic scientific exploration and analysis in constructing caves, they established relatively mature systems for cave structure shapes, proportional scales and environmental psychological mapping through persistent practical exploration and accumulated experience. The Mogao Caves\u2019 architecture not only reflects the progress of construction technology but also shows the development of users\u2019 psychological needs. As experiencers and users of cave architecture, people\u2019s ideology will penetrate every aspect of cave construction. Quantitative factors, such as cave structure, shape, spatial scale, color pattern, etc., will also guide and sort out people\u2019s negative emotions, which is beneficial to mental health.Conclusions: This paper discusses the construction technology of the caves from the space layout, scale, psychological atmosphere and other aspects, and discusses many influencing factors in the caves construction, which provides reliable information for studying the structural characteristics of the caves and the psychological mapping of users to the caves in vision and even subconscious. It is helpful for us to know the outstanding wisdom of the ancients in underground engineering technology and architectural psychology. Find out the positive influence of cave architecture on people\u2019s mental health.In addition to the influence of geographical environment and rock structure, the change and development of the structure and scale ratio of cave architecture are also related to the rule of the regime at that time, the life of the common group and the functional needs of the caves. From the perspective of scientific exploration and using computer simulating test, four models were established based on the same conditions, and the deformation and principal stress of Mogao Caves were compared, and it is found that the stability of pyramidal ceiling > even roof > herringbone > flat roof. Although the excavation was limited by cutting equipment and technique at that time, the top structure of caves cleverly utilized the structure and characteristics of rock mass, and the sequence of excavation from top to bottom reduced the influence on the surrounding rock of caves. Under the condition of no supporting lining, the stability and self-supporting ability of surrounding rock were guaranteed, and the demands of culture spreading and exhibition were taken into account in different times, showing the wisdom and engineering experience of ancient Chinese craftsmen, which had certain guiding significance for underground engineering construction. 2021 Young Doctor Fund Project of Gansu Province (Project No.: 2021QB101).aJia-qing Wanga School of Economics and Management, Wuhan University of Engineering Science, Wuhan 430200, Hubei, China.Background: The essence of psychological anxiety is a kind of psychological sub-health, which is externally manifested as negative and anxious emotions of employees\u2019 work attitude and behavior. In enterprise management, there is a basis for psychological anxiety in addition to personal characteristics, it is also related to the job position, job responsibilities and the management style of superior leaders, especially related to the company\u2019s principle of mutual benefit. The principle of mutual benefit is the basic factor for the harmonious coexistence of the organization, leaders and employees, and it is also the pillar of the maintenance of the organizational system, the implementation of leadership activities and the development of work behavior. If the principle of mutual benefit is not well guaranteed, then psychological anxiety will lose its space for existence, and correspondingly, organizational operation, leadership behavior and work behavior can be smoothly implemented. The principle of interest and emotion is the core of psychological anxiety, and it is also the legal principle of relationship performance and production performance. Charismatic leaders can have a positive effect on employee performance by alleviating psychological anxiety as an intermediate variable. Based on the internal logic of charismatic leadership traits and psychological anxiety, the relationship between psychological anxiety and employee performance and the mechanism of charismatic leadership and employee psychological anxiety alleviation were analyzed.Subjects and Methods: The research goal of this paper is to explore the positive leading role of alleviating psychological anxiety on employee performance from the perspective of organizational operation. The article argues that a leadership style that is highly consistent with the behavior of alleviating psychological anxiety is needed, that is, leadership ability and leadership art that is appealing and attractive. At the same time, based on the internal analysis and examination of the characteristics of charismatic leadership style, it is found that this leadership style feature is compatible with psychological anxiety behavior, and can stimulate employees\u2019 work initiative and enthusiasm in the form of alleviating psychological anxiety, thereby improving employee relationship performance and effectively interacting with organizational performance. By using a variety of statistical analysis techniques such as content analysis, literature analysis, exploratory factor analysis, confirmatory factor analysis, structural equation model and regression analysis, the influence of charismatic leadership on employee performance was studied with psychological anxiety as the mediating variable.Results: Through theoretical analysis and empirical research, it is found that the personal charisma traits of leaders constitute the main dimension of charismatic leadership. From the perspective of leadership behavior practice, the dimension of charismatic leadership is specifically manifested in the following aspects, namely: common vision, caring for employees, paying attention to the environment, daring to take risks and innovation, and extraordinary behavior. Charismatic leadership can play a role in alleviating psychological anxiety because of the application of these five elements. Based on a shared vision, charismatic leaders are usually exemplary and benchmarking to reinforce the alignment of employees with their own tasks, and guide employees to make efforts to improve organizational performance. The impact of charismatic leadership on employee performance is manifested as: the role model of charismatic leadership can strengthen employees\u2019 engagement in work; The vision of charismatic leaders can effectively awaken employees\u2019 work motivation; The personality factors of charismatic leaders can better enhance employees\u2019 loyalty to the organization; Charismatic leaders care for their jobs and improve employee satisfaction.Conclusions: This paper proposes a path for charismatic leaders to improve employees\u2019 performance from the perspective of alleviating psychological anxiety: focusing on the consistency between charisma traits and alleviating employees\u2019 psychological anxiety; Organizational commitments and rules for alleviating psychological anxiety construction should be followed; Caring about job satisfaction in the dimension of employee psychological anxiety; Lead and inspire employee loyalty to the organization.aJunjun Chena Student Affairs Office, Shandong Polytechnic, Jinan, Shandong 250104, China.Background: In recent years, more and more foreign students have entered higher vocational colleges in China. Mental health education of foreign students in higher vocational colleges is facing great challenges.Subjects and Methods: The purpose of this paper is to explore the application of painting psychological analysis in the mental health education of Bangladeshi students in higher vocational colleges, and to explore a new way to promote the harmonious development of physical and mental health of foreign students in higher vocational colleges. A total of 50 Bangladeshi students in Shandong Polytechnic were enrolled in the study. This paper evaluates the reliability and validity through qualitative research.Results: Painting psychoanalysis, which is characterized by its variety, easy operation and freedom from time and space constraints, is mainly used as a means of communication to bring more vitality and enlightenment to the mental health education of college students. The physical and mental health of Bangladeshi students in vocational colleges were fully developed and achieved psychological growth. The classroom atmosphere is more active. The students\u2019 psychological stress was significantly reduced, and their self-identity significantly increased.Conclusions: The psychological analysis of painting is integrated into the mental health education activities of the foreign students in Bangladesh, which is very popular among the foreign students. Through communication, teachers, counselors, students generally agree that painting activity has achieved good results. From the practice, it is found that the psychological analysis of painting is helpful to overcome the negative influence of culture and language, and is suitable for Bangladeshi students to carry out mental health education.aYadong Wanga School of Education, Nanchang Institute of Science and Technology, Nanchang, Jiangxi, China.Background: To explore effective ways of cultivating critical thinking quality of English majors from the perspective of educational psychology, especially the willpower. For willpower plays an important role in the entire process of cultivation of critical thinking quality. Students who possess strong willpower can consciously control and adjust their actions according to the purpose, and can overcome various difficulties to achieve the purpose. Also a strong willpower will usually lead to a strong determination, which is a key factor to success. A strong willpower is also helpful in cultivating students\u2019 healthy psychological mindset and character building.Subjects and Methods: 1. The willpower and motivation method: First, purpose education. To educate the students about the purpose and necessity of cultivating critical thinking quality. Then, turn them into a strong motivation. Third, educate the students about the importance of a strong willpower.When meeting difficulties, encourage them to get over difficulties by their strong willpower. 2. The willpower cultivation method: Besides educating students about the theoretical side of willpower, the teacher also educate them about the practical side, i.e. how to obtain a strong willpower. The teacher adopts various ways to cultivate students\u2019 physical and psychological willpower. To cultivate students\u2019 physical willpower, the teacher requires students to make a very specific plan for physical exercise. For example, running a certain distance every day and stick to it strictly. To cultivate students\u2019 psychological willpower, the teacher requires students to memorize a certain number of English vocabulary every day and stick to it strictly. The teacher controls the process by checking the students\u2019 progress periodically and establish a certain reward mechanism. In this way, help students cultivate a strong willpower as well as a healthy psychological mindset. 3. Integration method: The elements of critical thinking are integrated into classroom teaching activities such as text teaching, writing teaching, reading teaching. Through text analysis, main idea summary and question answering, students\u2019 logical thinking ability is exercised and developed. Through critical writing practice, students\u2019 critical ability is trained and developed.Results: 1. Through teacher\u2019s education of the purpose, the students know the importance and necessity of cultivating critical thinking quality. Through teacher\u2019s willpower and motivation education, the students know the important role the willpower plays in the cultivation process. The students\u2019 learning enthusiasm is greatly aroused with a strong motivation. 2. The logic theory required in the cultivation process is usually abstract, dull and hard to understand. However, through teacher\u2019s willpower education and cultivation, the students\u2019 strong willpower is gradually obtained and further enhanced. Thus, it enables the students to get over various difficulties occurred during the cultivation process. Meanwhile, it also helps the students develop a healthy psychological mindset and a good character.Conclusions: English teaching integrated with cultivation of critical thinking of English majors from the perspective of educational psychology is feasible. For willpower plays an important and irreplaceable role in the cultivation of critical thinking quality and a healthy psychological mindset. In colleges that do not offer a separate course on critical thinking, this method is both realistic and useful.a, Huayu GuanbMingchi Zhua Beijing-Dublin International College at BJUT, Beijing 100124, China, b Finance Office, School of Emergency Technology and Management, North China Institute of Science and Technology, Langfang 065201, China.Background: From the perspective of psychological satisfaction, fintech can reduce the management costs of commercial banks, improve operational efficiency, meet customer psychological needs, and achieve psychological satisfaction, thereby enhancing their core competitiveness. The Internet can break through the limitations of time and space blockade, increase the customer range of commercial banks, improve their psychological satisfaction level, greatly reduce the service costs of commercial banks, and thus increase the psychological satisfaction and loyalty of commercial bank customers.Subjects and Methods: This article studies the impact mechanism and empirical analysis of financial technology on customer psychological satisfaction from the perspective of customer psychological satisfaction, combined with the characteristics of commercial banks, from both theoretical and empirical perspectives. Based on this, this article uses the \u201ctext mining\u201d method to construct the impact index of financial technology, using state-owned large commercial banks, joint-stock banks, and urban commercial banks as samples, and measures the customer psychological satisfaction index, empirically analyzing the impact mechanism of financial technology on customer psychological satisfaction.Results: This article analyzes the impact mechanism of financial technology development on customer psychological satisfaction, and benchmark test results show that the development of financial technology significantly improves the level of customer psychological satisfaction. After a series of robustness tests, the main conclusions of this paper remain unchanged. Mechanism analysis found that the improvement of income level, the development of entrepreneurial activities, and the narrowing of urban-rural income gap are important reasons for the impact of financial technology development on customer psychological satisfaction.Conclusions: Financial technology can improve customers\u2019 psychological satisfaction, increase their happiness index, and achieve psychological satisfaction. According to empirical research results, due to historical and management system reasons, large state-owned commercial banks seem to have a slight lag in responding to external environmental changes, and their impact on customer psychological satisfaction is relatively low. However, equity banks and urban commercial banks are significantly weaker in responding to the impact of financial technology. Therefore, commercial banks should base themselves on their own strength, seize opportunities in the external environment, and enhance psychological satisfaction. At the same time, the government should support the development of fintech, promote the standardization of fintech in China, formulate policies and regulations related to fintech, promote the sustainable and healthy development of the financial industry, and thus improve customer psychological satisfaction and happiness index to a greater extent.a, Fujun Rena, Xiaoling Rua, Hui Guoa, Xiuyou WangaShigan Yua Fuyang Normal University Fuyang, 236041, Anhui, China.Background: The era of emerging engineering has endowed college teachers with a new mission, and training high-quality professionals to meet the needs of emerging engineering has become a new goal. As the core course of computer-related majors, the traditional teaching mode of the course lags behind the requirements of the emerging engineering era, which leads to the lack of learning initiative, low academic performance, backward practical ability, and weak ideological and political consciousness of the students majoring in computer science, thus causing their concerns about their employability after graduation. It makes students worried about their future and causes serious psychological problems. Therefore, the teaching mode of this course needs to be reformed.Subjects and Methods: This paper analyzes the problems in the traditional teaching process, studies the pain points in teaching, faces the strategic requirements of the new engineering era, takes training high-quality talents as the goal, takes students as the center, and makes students busy, teachers strong, management strict and the effect practical. This paper proposes PBL (Problem-based Learning) and \u201cPreview, Bridge in, Discussion, Evaluation, Exercise, Designing\u201d six-step teaching model, Online and offline hybrid teaching ideas, flipped classroom teaching methods, progressive curriculum ideological and political teaching process, experiential learning and Outcome-based Education (OBE) concept combined teaching system and curriculum innovation evaluation system.Results: Through the investigation and statistical analysis of the teaching reform results, it can be found that the innovative teaching reform aiming at the principle of computer composition has enhanced students\u2019 learning initiative, improved their academic performance, increased their practical ability, enhanced their ideological and political awareness, and cultivated a large number of patriotic and high-quality talents required by the new engineering era. It can reduce students\u2019 worries about their future employability and alleviates students\u2019 psychological problems. Conclusions: The new teaching method proposed in this paper has been proved to be efficient in practice, which can improve students\u2019 comprehensive ability, make students full of confidence in the future and relieve psychological anxiety, and preliminarily meet the requirements of the emerging engineering era. The course presenter will continue to promote the reform of teaching mode according to the connotation of the requirements of the emerging engineering, and cultivate a larger team of high-quality professionals.The work was supported in part by Quality project of Anhui Province with Grant number 2018mooc061, 2020xsjxms182, 2020mooc386, 2020zdxsjg260, 2020jyxm1423, 2021sx117, 2021jyxm1121 and 2021jxtd215, in part by Talent research launch start-up project of Fuyang Normal University under grant 2019kyqd0018, in part by Anhui Province university key research project under grant KJ2018A0669 and 2022AH052820, in part by List of first-class undergraduate programs in Anhui Province under Grant 209 and in part by Ministry of Education industry-school cooperative education project under grant 220601363062820.a, Tao Fana,b, Jian Wanga, Yan ShenaHuan Wanga College of Architectural and Civil Engineering, Xinjiang University, Urumqi 830047, China, b College of Architecture and Urban Planning, Tongji University, Shanghai 200092, China.Background: Due to the impact of the Internet on traditional business, bazaars in Xinjiang, China, have developed slowly in recent years. In order to activate this traditional commercial form, the government has carried out a series of construction practices of large bazaars. Although the actual operation effect of many bazaars is ideal, the problem of many bazaars is that the degree of public mental health and happiness is not enough, so it is necessary to study the strategy of commercial promotion based on the degree of public mental health and happiness.Subjects and Methods: The research object of this paper is the most famous commercial complex in Xinjiang -- Xinjiang International Grand Bazaar. Firstly, the objective analysis of customer behavior of Xinjiang International Grand Bazaar on the spot investigation of public mental health and happiness, including: walking traffic space status analysis, walking square space status analysis, function and landscape analysis. Secondly, 743 on-site and online questionnaires were used to conduct subjective analysis and evaluation on the status quo of public mental health and happiness in Xinjiang International Grand Bazaar.Results: Based on the objective analysis and subjective evaluation of public mental health and happiness, it is concluded that Xinjiang International Grand Bazaar puts emphasis on the renovation and upgrading of public square public space, gives full play to the synergistic effect produced by the combination of public space and commercial space, and improves the public mental health and happiness. The space has a strong degree of openness and inclusiveness. However, there is still some room for improvement in the degree of public mental health and happiness: (1) The utilization rate of the square is not enough, the lack of public space to meet different mental health needs. (2) Single functional area to increase functional space to meet more mental health needs. (3) Accessibility is not ideal and happiness is reduced.Conclusions: And finally put forward the promotion of mental health and happiness degree strategy: \u2474 rich square space to meet a variety of mental health needs, to create a comfortable and pleasant rest space, interactive space to promote mental health communication. (2) Expansion and reconstruction of functional zoning, reasonable distribution in each area of the International Bazaar; (3) establishment of body traffic, formation of \u201cmultiple first floor\u201d mode, and use of air corridor to increase building connectivity. This paper studies the degree of public mental health and happiness in Bazaar, the design strategy proposed in this paper can further activate the vitality of the Bazaar, attract consumers to higher floors or underground Spaces, and contribute to a more benign interaction between the International Grand Bazaar and the city, so as to improve its actual operation effect. It provides theoretical reference for the reconstruction of Xinjiang International Grand Bazaar and similar building design in the future.This work was supported by the project grant from 2020 Xinjiang Natural Science Foundation Youth Fund \u201cResearch on the Design Strategy of Public Cultural Service Function Based on Synergy Theory: A Case Study of Xinjiang Commercial Complex\u201d (Grand No. 2020D01C059).a, Mengjie Denga, Hao Tiana, Wenjing HuangbYihua Lia School of Transportation & Logistics, Central South University of Forestry & Technology, Changsha 410004, Hunan, China, b School of Materials Science and Engineering, Central South University of Forestry & Technology, Changsha 410004, Hunan, China.Background: In order to effectively cope with urban public health crisis, improve the toughness of the public health system, improve the level of medical health, and ensure the safety of consumers\u2019 medication. This study focuses on the most pressing difficulties and problems that are of great concern to the people in the field of medical and health. It aims to achieve low cost, high efficiency and high safety distribution of pharmaceutical products by conducting research on the joint distribution mode of pharmaceutical cold chain logistics.Subjects and Methods: In this paper, we first compose the development of pharmaceutical cold chain logistics and its infrastructure construction in China in recent years. Secondly, we compare and analyze three mainstream distribution modes in pharmaceutical cold chain logistics industry. Then we summarize the social benefits of carrying out joint distribution of pharmaceutical cold chain logistics. Finally, we enumerate the technical advantages of blockchain.Results: The results show that the development of pharmaceutical cold chain logistics has a bright prospect, and the implementation of joint distribution in pharmaceutical cold chain logistics can improve resource utilization, reduce business risks, help environmental friendliness and promote healthy development of the industry. The technical advantages of blockchain such as decentralization, distributed storage, tamper-evident, traceability and smart contract provide great convenience for the development of joint distribution business.Conclusions: The blockchain-based information service platform for joint distribution of pharmaceutical cold chain logistics can play a role in reducing costs and increasing efficiency, promoting cooperation and facilitating supervision. In addition, the real-time reaches of logistics data can greatly reduce the medical safety incident caused by the quality of medical products deteriorate in transportation process. The establishment of this information service platform has enlightening significance for the information construction of the entire pharmaceutical logistics industry.Support for this study was jointly provided by General Project of Chinese National Social Science Foundation \u201cResearch on the Balanced Path of the Cold Chain Logistics Structure System of Agricultural Products in the Digital Village Background\u201d (22BGL173), Major project of the Hunan Social Science Review Committee \u201cResearch on the Implementation Countermeasures for Promoting the Equalization of Basic Public Services in Hunan Province by Medical Cold Chain Logistics Driven by Data\u201d (XSP22ZDA006) and General Project of Hunan Natural Science Foundation (2022JJ31015). The authors would also thank all the institutions and units for providing statistical data, information, and documents used in this study.a, Ke Yinb, Yumeng YangcYi Xiaoa College of Public Administration; Chongqing Technology and Business University; Chongqing 400067, China, b College of Geographical and Travel, Chongqing Normal University, Chongqing 400047, China, c College of Business Administration, Chongqing Technology and Business University, Chongqing 400067, China.Background: Poverty alleviation in 2020, farmers still face various types of livelihood risks. In the livelihood risk analysis, livelihood capital is the core of the analysis. Therefore, it is necessary and practical to study the impact of livelihood capital on the livelihood risk and mental health of farmers in poor mountainous areas in Southwest China, so as to provide empirical basis for the government to better formulate relevant policies and consolidate the results of poverty alleviation.Subjects and Methods: Based on this, this study takes the questionnaire of 321 poverty-stricken farmers in the southwest poor mountainous areas as the sample data, analyze the impact of farmers\u2019 livelihood capital on their livelihood risk and mental health.Results: The results show: (1) Livelihood risks of poverty-stricken farmers include natural risks, economic risks, welfare risks and social risks. (2) Economic risk is affected by financial capital and human capital, natural risk is affected by natural capital and material capital, and welfare risk is affected by social capital, financial capital and material capital. Social risk is affected by natural capital and financial capital. It can be seen that human capital and financial capital are the key factors affecting the livelihood risk of farmers.Conclusions: On the one hand, the local government should increase the investment in the human capital of rural households to promote the systematization, diversification and specialization of farmers\u2019 employment training. Secondly, we should increase investment in education, improve the capital stock of farmers\u2019 livelihood and guide their mental health development as a whole; On the other hand, the government should improve the land utilization rate and promote the marketization process of rural land transfer. At the same time, the government should increase its support for farmers\u2019 cooperative organizations, accelerate the construction of a modern rural financial system, develop a diversified rural credit support model, and increase the financial capital stock of farmers, so as to effectively improve the livelihood level of farmers.This study was funded by National Social Science General Project: Study on Livelihood Risk and Sustainable Guarantee of Poverty Alleviation Farmers in Poor Mountainous Areas (20BJY166).a, Yi Yua, Zhiwei Tanga, Bo Hub, Dr. Ali AbidcXiaoke Yina Hunan Biological And Electromechanical Polytechnic, Changsha, 410127, China, b Beiya Middle School of Changsha, Changsha, 410005, China, c Allied Hospital, Faisalabad, Punjab 54590, Pakistan.Objective: According to the latest statistics of the World Health Organization, mental health problems are one of the main causes of extreme events (such as suicide). Therefore, the psychological health of college students is an extremely important research topic. The research on college students\u2019 mental health is traditionally based on small-scale questionnaires, scales or experimental data. This paper creatively proposes a diversified information based teaching method that combines online open courses, intelligent teaching platforms and virtual simulation teaching resources, and uses big data technology and concepts to analyze a large range of samples.Methods: The online open courses and virtual simulation teaching resources were organically integrated to solve the problem that students were difficult to understand the real learning situation; Integrate virtual simulation teaching resources and intelligent teaching platform organically to solve the problem that teachers cannot fully understand students\u2019 learning effects; The smart teaching platform and online open courses will be organically integrated to solve the problem that managers are difficult to understand the teaching situation. From the aspects of university economic life, academic performance, comprehensive performance, mental health and school satisfaction, the development of special enrollment plan students in rural and poor areas will be discussed.Results: The online open courses, intelligent teaching platform and virtual simulation teaching resources were integrated organically and promoted as a whole, and teaching methods were innovated, teaching resources were enriched and teaching effectiveness was improved. A machine learning model has been established to predict postpartum depression and depression through social media data, and the accuracy of the latter can reach 70%. Research based on microblog text and Instagram photos has also proved that machine learning methods can be used to identify patients with early depression with high accuracy. Literature systematically analyzed Sina Weibo users based on multi task regression and incremental regression algorithms and used them to predict the five personality traits.Conclusion: It can not only make up for the shortcomings of traditional classroom in colleges and universities, fully mobilize students\u2019 enthusiasm for learning, but also evaluate students\u2019 learning effects and timely adjust teaching strategies, so as to promote the comprehensive application of information and intelligence in education. Inspired by the recent education big data and computational social economics methodology, this paper intends to explore the relationship between students\u2019 mental health problems, especially depression symptoms and students\u2019 social behavior by analyzing students\u2019 behavior data under uncontrolled conditions.Obtained the \u201cFourteenth Five Year Plan\u201d of Hunan Education Planning Science in 2022, and \u201cResearch on the Path of Multi information Integration Teaching Means in Higher Vocational Colleges\u201d (Project No.: XJK22CGD076).aDeng Xina Department of Law, School of Political Science and Law, Xinjiang Normal University, Guanjing Road No. 100, Shuimogou District, Urumqi, Xinjiang, China.Background: With the fierce competition in modern society, various psychological problems have become important factors that seriously affect people\u2019s health and life satisfaction. The National Health Conference held in 2016 and the Outline of the Healthy China 2030 Plan issued after the conference raised the issue of universal health to a national strategic level. The Guidelines on Implementing the Healthy China Action, issued on July 15, 2019, clearly states that mental health promotion actions should be carried out. Thus, it can be seen that guaranteeing the mental health of the whole people plays an important role in the strategy of \u201cHealthy China\u201d. The formation of the national mental health system requires the construction of the top-level mental health coordination mechanism under the guidance of the idea of ecological civilization, and the system innovation of realizing the national mental health from the perspective of legal protection. To build an ecological mental health model for the whole people, this paper discusses the role of ecological civilization thought as an important ideological guidance as well as its application in realizing the legalization of promoting the national mental health.Subjects and Methods: To this end, this paper combs out the internal correlation between the thought of ecological civilization and the legal system of national mental health from the aspects of theoretical basis, logical consistency and historical experience, and analyzes the internal mechanism of realizing the legalization of the national mental health from the aspects of ecological jurisprudence foundation and ecological psychological system construction. From the perspective of legalization, this paper discusses the value, implication and practical path of how to raise the mental health problem of the whole people to the level of legal rights under the guidance of ecological civilization.Results: Based on the above analysis, this paper proposes to construct the legal environment through inheriting the excellent ecological mental health culture and creating the legal atmosphere of ecological mental health; unify the individual value orientation and common consciousness orientation by constructing a mental health ecological legal education system formed by theoretical cognition and practice; and leads the construction of the mental health awareness system of the whole people by optimizing the mental health rule of law under the guidance of ecological civilization.Conclusions: To realize the legal path of the right to mental health of the whole people, it is necessary to establish a right protection system on the basis of clarifying the subject of rights and the relative subject of obligations, and clarifying the content of rights and obligations between subjects. By integrating ecological civilization thought and practice into the process of exploring the legalization of promoting the national mental health, it is possible to promote all nationalities to actively construct the legal coordination mechanism and the relief assistance mechanism of mental health, providing a reference for the theoretical research and practice on promoting the national mental health.This work was supported by the project of \u201cResearch and Reform of Undergraduate Education and Teaching in Colleges and Universities\u201d by the Department of Education of Xinjiang Autonomous Region in 2022, \u201cIn-depth exploration and Organic integration of ideological and political Elements in the Course of Environmental and Resource Protection Law\u201d. (Grant No. XJGXPTJG-202227).a, Hua Zhoub, Yingli Lib, Mengqi WangbYuhang Wanga Institute of physical culture, Harbin University, Harbin, Heilongjiang 150076, China, b School of Marxism Northeast Agricultural University, Harbin, Heilongjiang 150030, China.Background: As we all know, physical exercise helps to enhance physical fitness and promote physical health. However, the effects of different physical exercise programs on psychological anxiety and depression have not attracted sufficient attention from scholars. This paper adopts the method of exercise intervention to study the impact of different physical exercise programs on anxiety and depression symptoms in college students, providing a theoretical reference for solving the mental health problems of college students, and providing a scientific basis for the formulation of exercise prescription.Subjects and Methods: Using the whole group sampling method, 60 undergraduates of Northeast Agricultural University with anxiety and depression symptom were selected as subjects. The subjects were divided into basketball group, badminton group and aerobics group according to their interest. The three groups of subjects were given 16 weeks of physical exercise intervention training. And Self-rating Anxiety Scale (SAS), Self-rating Depression Scale (SDS) were used for assessment before and after the intervention. SPSS 20.0 statistical software was used for statistical analysis of the obtained data. The data before and after the same exercise program was compared by independent sample t test, and the data before and after the experiment between different exercise programs was compared by single factor ANOVA.Results: The anxiety level of the basketball group, the anxiety and depression level of the badminton group and the depression level of the aerobics group were significantly different before and after the experiment . The anxiety level of the aerobics group was extremely significant, and the depression of the basketball group was extremely significant . After the intervention, it was also found that SAS scores between basketball group and aerobics group, basketball group and badminton group, badminton group and aerobics group were all statistically significant and SDS scores between basketball group and aerobics group, basketball group and badminton group, badminton group and aerobics group are all statistically significant as well .Conclusions: The three kinds of physical exercise program can all significantly alleviate the anxiety and depression symptoms of college students, among them, aerobics program has the most significant effects on anxiety symptoms of college students followed by badminton program and basketball program. And badminton program has the most obvious effect on reducing the symptoms of depression followed by badminton program and aerobics program. This study only considered the effects of physical exercise programs on anxiety and depression of college students. It did not put the mediating variables such as gender factor, physical quality, personal characteristics into consideration, which should be considered in the follow-up study.Supported by a project grant from GJB1423410; GJE1422083.a, Yi WangaJiangxin Hea School of Marxism, Xi\u2019an University of Science and Technology, Xi\u2019an 710600, China.Background: The public recognition of low carbon psychology and anxiety about the environment are not only the objective requirement of people\u2019s response to climate change, but also the realistic need of the transformation and optimization of agricultural industry. Although low carbon life is a new concept, it does raise the world sustainable development of the old problem, it reflects the human because of climate change and the future environment concerns and anxiety. With agricultural modernizing, a great demand for carbon emission reduction and sequestration in agriculture and rural areas.Subjects and Methods: By identifying and confirming the basis and main types of carbon sources and sinks, as well as searching literature and conducting research, we found in-depth understanding of the existing problems of carbon emission in the Yangtze River Economic Belt, and ensure that the path of carbon emission reduction and sequestration is reasonable and effective. In this way, it can enhance people\u2019s recognition of low carbon psychology and relieve people\u2019s anxiety caused by environmental change.Results: Through studying the path of carbon emission reduction and sequestration in agriculture and rural areas under the condition of low carbon psychological identity and environmental anxiety, some problems existed in the Yangtze River Economic Belt region. For example, in the implementation of carbon reduction and sequestration goals, first of all, we should adhere to the green development of agriculture at the same time; Secondly, we should ensure the safety of agricultural products. While ensuring food production, we should also pay attention to the safety of agricultural products, which is related to people\u2019s health. Finally, we should optimize and innovate the system and mechanism.Conclusions: In order to promote the smooth implementation of carbon reduction and sequestration in agriculture and rural areas under the condition of low carbon psychological identity and environmental anxiety, technological innovation can be promoted and utilized. Developing conservation-oriented agriculture; Optimize agricultural management; Enhancing public awareness and changing lifestyles; Afforestation and other ways to solve the problem of carbon emissions polluting the environment, through these effective and reasonable paths, further improve the environmental state that people rely on for survival, can improve the public\u2019s psychological identification of low-carbon lifestyle, but also can alleviate people\u2019s anxiety about carbon emissions polluting the environment.a, Yuncai NingaSongtao Wanga School of Management, China University of Mining & Technology, Beijing, 100083, China.Background: Inclusive green growth is an important symbol of high-quality economic growth, and emotional regulation is a representative of social equity. The purpose of this article is to explore the impact of the digital economy on inclusive green growth, including emotional regulation, and analyze the important role of emotional regulation in inclusive green growth.Subjects and Methods: From the perspective of emotional regulation, a system dynamics model including emotional regulation was constructed to study the impact of the digital economy on emotional regulation. The system dynamics model includes stocks, variables, constants, etc.Results: The system dynamics model simulation results show that the digital economy can form positive feedback on emotion regulation, and emotion regulation plays a positive role in inclusive green growth. It can be seen from this that emotion regulation can reduce the income gap and promote inclusive green growth. The impact mechanism of the digital economy on inclusive green growth is that it can positively regulate emotions, thereby reducing the wealth gap and promoting inclusive green growth.Conclusions: This article studies the impact mechanism and system operation rules of the digital economy on inclusive green growth from the perspective of emotional regulation, which can provide theoretical support for relevant policy recommendations in the later stage. Therefore, the following policy recommendations are proposed: promoting the development of the digital economy is conducive to public emotional regulation, thereby reducing the wealth gap and improving mental health. Emphasizing the positive mechanism of the digital economy on emotional regulation is beneficial for inclusive green growth and strengthening the application of the digital economy. And utilize the strong vitality of the digital economy to promote inclusive green growth in cities, thereby promoting economic growth, alleviating national psychological pressure, and improving mental health. In the process of developing the digital economy, we should focus on increasing investment in the information industry, encouraging the development of new startups, and strengthening the application of the digital economy to strengthen it.a,b, Jianmei Xua, Xingying LibFusheng Lianga Huangshan University, Huangshan, 245041 China, b East China Normal University, Shanghai, 200241, China.Background: This paper discusses the developmental characteristics of fundamental motor skills of children aged 3-6 in Anhui Province, providing a basis for the creation and implementation of physical activities and games for young children, a reference for the improvement of children\u2019s physical fitness, as well as for the integration of sports, education, and medicine.Subjects and Methods: A total of 240 young children aged 3\u20136 in Anhui Province were selected as the survey subjects for statistical analysis by using the measurement tool of TGMD-3.Results: The average total scoring rate of fundamental motor skills for 3-6 year-old children in Anhui Province is 48.7%. Specifically, the average total scoring rate for fundamental motor skills is 30.1% for 3-4 year-olds, 47.85% for 4-5 year-olds, and 67.58% for 5-6 year-olds. There is a significant difference (P<0.05) in the Horizontal jump (S5) between boys and girls aged 3-4 years and 5-6 years, but there is no significant difference (P>0.05) in all other items for all age groups. The three items of Run (S1), Skip (S4), and Underhand throw (S13) all show significant differences (P<0.05), while the other items and total scores do not show significant differences (P>0.05). There is a significant difference (P<0.05) between the underweight and overweight groups for 3-4 year-olds and the overweight and normal groups for 4-5 year-olds. There is a highly significant difference (P<0.01) in the obese group for 4-5 year-olds. The multiple correlation coefficients of the comprehensive influencing factors for each age group are R=0.820, R=0.688, and R=0.866, and the significance is P<0.05 for all.Conclusions: Boys between the ages of 3-6 perform better in both locomotor skills and manipulative skills compared to girls of the same age group. There are significant differences in the development of fundamental motor skills between adjacent age groups of 3-6 year-olds, and the scoring rate increases are more pronounced in the 4-6-year-old group, with several individual items showing a greater increase. There are some urban-rural differences in the development of fundamental motor skills in 3-6 year-old children, and BMI has a certain impact on their fundamental motor skills. The family\u2019s exercise atmosphere, crawling experience in infancy, and participation in sports interest classes are positively correlated with children\u2019s fundamental motor skills, with the main effect of the family\u2019s exercise atmosphere being the most significant.This research was supported by the Young Backbone Teachers\u2019 Domestic Visiting Program of Anhui Province Provincial Education Department (gxgnfx2019036); the College Students\u2019 Innovation and Entrepreneurship Program in Anhui Province Province (S202010024); the Key Research Project in Humanities and Social Sciences in Higher Education Institutions in Anhui Province Province (SK2021A0632); and the Teaching and Research Project of Huangshan University (2021JXYJ12).a, Dan Wanga, Qiurong WangaZhaochu Qiana Chongqing Business Vocational College, Shapingba, Chongqing, China.Objective: Investors\u2019 confidence in the market largely affects the trend of foreign trade enterprises and even foreign trade markets. Based on the perspective of investors\u2019 psychological anxiety, this research analyzes the development status and practical constraints of Chongqing\u2019s foreign trade, and puts forward countermeasures to achieve high-quality development of Chongqing\u2019s foreign trade, so as to comprehensively promote the high-quality development of foreign trade in ChongqingMethods: Based on the change of investors\u2019 psychology, this research makes a multi-dimensional exploration of development in Chongqing from the perspective of investors\u2019 psychological anxiety by means of market subject analysis, quantitative analysis and field research.Results: The overall momentum of foreign trade development in Chongqing is good, but there are still some unfavorable factors. In terms of the external environment, the high inflationary pressures around the world is sustaining; the European economy is suffering a double blow; the impact of the mutation of the novel corona virus is continuing; the Sino-US economic and trade frictions is constant and presenting a long-lasting trend; the foreign trade enterprises are suffering survival pressure; and the investors\u2019 psychological anxiety is obvious. In terms of the internal constraints, the survival pressure of foreign trade enterprises is increasing; the structure of foreign trade is still unbalanced; the new drivers of foreign trade are not yet mature; and the ability of investors to withstand pressure is limited.Conclusion: After clarifying the causes of investors\u2019 anxiety, this research combines the law of foreign trade development with the law of investors\u2019 psychology change according to the actual development of foreign trade in Chongqing, and puts forward that the healthy development of foreign trade in Chongqing needs to work together from four aspects: strengthening the rescue of foreign trade enterprises, ensuring the stability and smooth of foreign trade industrial chain and supply chain, expanding foreign trade diversification and developing new business forms of foreign trade.This research has received the kind care, guidance and help from Chongqing Municipal Commission of Commerce and relevant enterprises in Chongqing. The systematic, forward-looking and practical content of this research has been significantly improved.aZhang Xiaa School of Foreign Language Mianyang Teachers\u2019 College Mianyang, Sichuan, China.Background: This study is to investigate internal and external factors that influence on the effectiveness of relieving students\u2019 psychological anxiety under the web-based college English teaching management.Subjects and Methods: The author mainly used quantitative study methodology. Data was collected from 445 students of eight colleges/universities in Mianyang city. Also introduced the phenomenological study by in-depth interview technique to support the quantitative study. The key informants are six college teachers, two leaders and twelve students from eight colleges/universities in Mianyang city. The study instruments were questionnaires and in-depth interviews. The statistics in analyzing the data were percentage, mean, standard deviation, one-way ANONA, T-test, correlation analysis, and multiple regression analysis.Results: The results showed that the internal factors have much more influence than external factors on the effectiveness of relieving students\u2019 psychological anxiety under the web-based college English teaching management.Conclusions: Finally, it concludeed the special management would be like this: \u201cweb-based teaching in class and web-based autonomous learning after class\u201d: that is to take full advantages of internet and build a good platform for students\u2019 self-learning, personalized learning and collaborative learning, so as to improve effectiveness on relieving students\u2019 psychological anxiety under web-based college English teaching management.aRenlin Guoa Beijing Enterprise Safety and Environment Information Science Research Institute, Beijing 100048, China.Background: Psychological anxiety is an important factor that causes safety risks for employees. In order to evaluate the impact of psychological anxiety on safety culture, this article constructs an SEM model to study the quantitative impact of psychological anxiety on safety culture in high-risk industries.Subjects and Methods: Psychological anxiety is influenced by multiple factors. As an important method to measure the impact of one group of multiple factors on another group of multiple factors, this article uses structural equation modeling to study the impact of psychological anxiety on safety culture in high-risk industries based on the obvious factors of psychological anxiety and safety culture.Results: The conclusion indicates that psychological anxiety is an important factor affecting the level of safety culture in high-risk industries, and there is a negative correlation between the two. That is, the higher the psychological anxiety of employees in high-risk industries, the lower the level of enterprise safety culture. Therefore, enterprises in high-risk industries should strengthen the level of enterprise safety investment, try their best to eliminate employee psychological anxiety, thereby improving the level of safety culture, and adopt various methods to alleviate employee anxiety, Enable employees to work in a warm atmosphere, thereby creating a good level of safety culture in the enterprise.Conclusions: The conclusion indicates that psychological anxiety is an important factor affecting the safety culture level of high-risk industry enterprises. Therefore, high-risk industry enterprises should eliminate employee psychological anxiety and improve safety culture level in the following aspects: firstly, strengthen safety investment, cultivate a good corporate safety culture, and minimize employee psychological anxiety; Secondly, carry out various safety activities to reduce employees\u2019 psychological anxiety and create a warm working atmosphere; The third is to correctly view psychological anxiety and safety management level, and organically link the two together.This research was supported by the Langfang science and technology research and development project (project number: 2021029083).a,b, Rui Sunc, Yuan YuancKun Zhaoa Tan Siu Lin Business School, Quanzhou Normal University, Quanzhou 362021, China b National Academy of Econnomic Strategy, Chinese Academy of Social Sciences, Beijing 100028, China c School of Business Administration of Huaqiao University, Quanzhou 362021, China.Background: The article analyzes the impact of online trust of Chinese investment company TMT on investment decision propensity of entrepreneurial projects and investors\u2019 psychological health.Subjects and Methods: Firstly, the article defines the \u201ctrust\u201d in the individual behavior attribute as \u201csituation trust\u201d and \u201cquality trust\u201d as the conceptual basis, and defines the trust relationship between the investment enterprise TMT and the entrepreneur. Second, by conducting an inductive longitudinal cross-case analysis on three Internet startup platforms in China, this study summarizes the relationships of the acquisition of situational and quality trust by investment company TMTs with the investment decision-making for entrepreneurial projects made by these TMTs. Thirdly, a research proposition is then proposed for further verification, from which the influence mechanism of investors\u2019 psychological health under the condition of interacting situational trust and quality trust of TMTs are identified.Results: The article finds that TMT online trust have a positive impact on TMT investment decision-making and investors\u2019 psychological health. Online situational trust influences investment decision propensity through the heterogeneity of situational perception, while when TMT shows higher quality trust, it helps investors to take joint action on market, information, and cooperation, as well as to conduct experimental learning to generate investment value, and to improve online investment decision propensity and reduce psychological anxiety. The existence of transactional or value-based trust transfer between online situational trust and quality trust determines different types of relationships between the two trusting subjects and induces TMT to choose the investment strategy corresponding to them.Conclusions: The article has important implications for further deepening the research on TMT online decision propensity of entrepreneurial projects and investors\u2019 psychological health. First, the article fills a gap in the literature regarding the \u201cinternal mechanisms\u201d and \u201ctrust transfer\u201d of online trust processes in explaining investment decision propensity and investor mental health. Second, by revealing the mechanism of online trust transfer between TMT situational trust and quality trust based on transactional and value-based, the article provides new ideas for in-depth interpretation of investors\u2019 online investment decisions and reduction of psychological anxiety. Thirdly, TMT should fully consider its own trust type and trust level, carefully design online trust investment mechanism, and choose the investment psychological strategy that fits with the trust type and trust level. Consistent with the problems of established inductive case studies, the findings of this study have limited external generalizability, and future research could expand the sample through other methods to improve external validity.Supported by a project grant from \u201cCognitive neural mechanism of personalized recommendation users\u2019 privacy response\u201d (Grand No.21FGLB041) and \u201cResearch on the formation mechanism and evolution path of intrepreneurial capability of manufacturing enterprises in Fujian driven by digital innovation\u201d (Grand No.FJ2022B055).a,b, Shuqin TianbDongqiang Wanga School of Management Science and Real Estate, Chongqing University, Chongqing, 400045, China, b Chongqing University of Arts and Sciences, Chongqing, 402160, China.Background: At present, the rural areas become the leading position, key area and weak link of epidemic prevention and control along with people\u2019s mental health in China.Subjects and Methods: This study trys to construct modern governance system for epidemic prevention and control in rural areas and analyse their impact on people\u2019s mental health from the perspective of all aspects, the whole process and all elements. A total of four cases were collected and analyzed according to the database involved epidemic prevention and control in rural areas in China and their impact on people\u2019s mental health built by the text analysis, grounded theory and multi-case analysis.Results: The results show that four typical models of epidemic prevention and control in rural areas in China and their impact on people\u2019s mental health, including legal leading model, local mobilization model, general grid model, and technical service model, are summarized and and a multi-case comparative study is conducted from the aspects of governance orientation, governance way, and governance mechanism. No matter which mode, COVID-19 had an impact on people\u2019s mental health, mainly manifested as depression, anxiety, stress, loneliness, helplessness.Conclusions: From the perspective of holistic management, this paper puts forward some policy suggestions to further strengthen the work of epidemic prevention and control in rural areas and reduce their impact on people\u2019s mental health: functional integration to establish a centralized and efficient leadership and command system; benign interaction to improve the communication and coordination mechanism of effective connection between different departments; demand orientation to take a holistic management and diversification model according to local conditions; crossing borders to build and share the work digital information platform of epidemic prevention and control in rural areas.This paper was supported by the National Social Science Foundation Project \u201cResearch on the Effect Measurement and Path Optimization of Social Forces Participating in Rural Revitalization in Key Assistance Counties\u201d (No. 22ASH014).a, Can Chenb, Yusheng LongcYajun Gua Tongji Zhejiang College, Jiaxing 314051, Zhejiang Province, China, b Jiaxing Nanhu University, Jiaxing 314001, Zhejiang Province, China, c Beijing University ShenZhen Hospital, ShenZhen 518000, Guangdong Province, China.Background: Investment decisions should not only consider the investment-return itself, but also analyze the psychological state of the decision-making subject, especially the psychological stability of the decision-making entity. This is a destabilizing factor that is independent of technological drivers. An individual\u2019s psychological stability is subject to biological factors such as disease, psychological factors such as personality traits, sociological factors such as the family environment of origin, and other factors. The result of the decision-making entity\u2019s processing of the above information ultimately becomes the key to the investment decision.Subjects and Methods: 1. The factor analysis method and the comprehensive analysis method are used to obtain the main contents affecting the psychological stability of the decision-making subject. 2. The investment decision-making model is constructed. Based on the assumption that the state of technological progress and the efficiency of new technology adoption are uncertain, the Bellman equation for optimal investment is obtained, and the optimal investment time of the project operator is calculated. 3. Parameter analysis of the investment decision-making model. 4. Using association analysis, relying on the psychological stability analysis of decision-making subjects, the decision-making results under different preferences are obtained according to the risk preferences of decision-making subjects.Results: 1. Psychological stability is subject to a variety of factors, and has strong instability and randomness. 2. The speed of technological progress is positively correlated with the uncertainty of positive benefits brought about by the adoption of new technologies, the positive rate of change in the adoption efficiency of new technologies, and the opportunity value F(V) and investment threshold V* adopted by telecommunications operators, while the negative rate of change in the adoption efficiency of new technologies is negatively correlated with the opportunity value F(V) and investment threshold V* adopted by new technologies adopted by telecommunications operators.Conclusions: In the field of telecommunications, operators make decisions on investment in new technologies, which is not only determined by technology itself, but also by the psychological stability of decision-making subjects is more decisive for the implementation of decision-making behavior. In fact, the psychological stability or broad sense of decision-making subjects is mental health the key to the success or failure of decision-making. In order to avoid the uncontrollability of individual decisions, team decisions can more rationally complete new telecommunications investment decisions. Broadly, similar methods can be used to make other types of decisions.aHao Penga School of Foreign Languages, Wuhan Polytechnic University, Wuhan 430024, China.Background: Language is a tool for human beings to convey their feelings and ideas. Human beings use language not only to convey information, but also to express their inner feelings. Therefore, language is also a window into people\u2019s mental health. Through verbal communication, psychiatrists can diagnose patients with mental disorders; Using big language data, scientists can quantify the special experience of doctors and develop intelligent products for early diagnosis of mental disorders. Linguistic researchers not only need to reveal the information of mental health through language, but also need to explore the neural mechanisms related to it.Subjects and Methods: AI studies how to use computer to simulate the ability of human brain to recognize, understand, participate, reason, learn, think and solve problems, and AI can perceive the external environment, further think, learn, and output corresponding behavior. AI has been described as the use of algorithms and software to approximate human cognition when resolving complex data. All AI involved in this paper belongs to the field of computer science and will adopt a series of technologies and methods: machine learning, natural language processing, speech processing, robotics, and similar automated decision making, etc., for developing and implementing human-specific language cognitive processes and mental health monitoring therapies.Results: Language production involves brain networks that process auditory, somatosensory, and visual input, as well as language perception and production. Mental illness often results in abnormalities in these brain networks, so analyzing language patterns can help diagnose mental disorders. Deficiencies in verbal communication are evident in many severe mental disorders, particularly those involving psychomotor retardation, affective retardation, and poverty of speech content. Language is an effective method to detect the mental state of patients. Existing research using artificial intelligence techniques to analyze voice and language patterns has been highly accurate in screening for mental health problems. Some researchers have developed algorithms into artificial intelligence systems that evaluate speech samples and compare them with previous samples of the same patient to score their mental status. Research has found that AI model scoring can be as accurate as human clinicians.Conclusions: Thanks to the rapid development of machine learning, the accuracy of predicting mental disorders by analysing linguistic data is also increasing. Language is a window through which experienced psychiatrists can assess a patient\u2019s mental state. If artificial intelligence can quantify the doctor\u2019s special experience, it will greatly improve the objectivity and popularity of diagnosis. In addition to the flexibility and universality of the collection, language features as a tool for early screening of mental disorders have unique advantages. In addition, social platform language big data can also be used for monitoring users\u2019 psychological status, and the analysis results can provide objective basis for government departments\u2019 decision-making in mental health. Similarly, rapid advances in neuroscience and biological science have provided scientific tools for exploring the relationship between explicit language and Behavior and internal psychology and spirit. Although artificial intelligence and neuroscience have made initial achievements in exploring brain mechanisms and identifying mental disorders using language information, they are still far from practical clinical application. On the way of monitoring and protecting people\u2019s mental health through the window of language data, multidisciplinary linguistic research still has a long way to go.a, Wen Shia, Hongbo FuaYuezi Weia School of Biomedical Engineering, Guangzhou Medical University, Guangzhou, Guangdong, 511436, China.Background: For the higher mathematics curriculum, it is still a new subject to carry out curriculum ideological and political reform and integrate ideological and political elements into curriculum teaching. Higher emotional intelligence is conducive to the formation of sound personalities. Combining ideological and political education with curriculum reform and teaching practice has an important means and method to cultivate people\u2019s personality.Subjects and Methods: Starting from affairs around us and national events, we internalized ideological and political education into the classroom teaching of higher mathematics, and practiced and explored the actual links. Through the teaching of ideological and political cases with the characteristics of the epoch and infectious, it opens a channel for students to connect mathematics with the outside world, and establishes the sound mentality of students.Results: In this way, students\u2019 enthusiasm and initiative in learning mathematics are improved, knowledge updating and cross-integration are realized, and students get the ability to find and solve problems. Through ideological and political education, psychological education cultivates students\u2019 high-quality emotional intelligence and shapes sound personalities, so that college students can form a healthy psychology.Conclusions: Teaching with ideological and political materials can promote the establishment and perfection of students\u2019 mentality. By integrating ideological and political education with the study of mathematics, it not only educates students in ideology and morality, but also allows students to understand the method of mathematical modeling from the mathematical model, and understands the practicality of mathematics. We will train professionals who have a healthy personality, healthy psychology, ideal and faith, morality, correct value pursuit, ability and responsibility of The Times, and promote the construction of new engineering and new medical sciences.This work was supported by the Second Batch of Industry-University Collaborative Education Project of the Ministry of Education in 2019 (Project No. 201902120032); the Education Science Planning Project of Guangzhou in 2020 (Project No. 06-410-2113029); and the First-class Major Construction Project of Guangzhou Medical University (Project No.: 02-408-2304-11-010XM).aFengxiang Denga School of Marxism, Hunan City University, Yiyang, Hunan, 413000, China.Background: During the COVID-19, many universities used remote online teaching methods, and online examination became a research topic. College students have two distinct psychological attitudes towards courses during the pandemic. The first type is a relaxed mentality, believing that loose and remote exams will give them great opportunities, so there is no need to study hard. The second type is anxiety, where some students are worried that the exam format may not be suitable or that they may find it difficult to achieve good grades. Some students may believe that remote exams can lead to inconsistent exam situations for different students, thereby harming the fairness and justice of exams.Subjects and Methods: The first is the feasibility of online exams. The progress of technology and society has put forward new requirements for exams, and the popularization of computers and mobile phones has made online exams possible. The emergence of the epidemic and natural disasters has made online exams necessary. Online exams are not only an improvement in assessment methods, but also a beneficial practice of open and personalized assessment, which meets the basic requirements of course teaching. The second is how effective online exams can be in eliminating exam anxiety among college students. There are three research methods. The first is literature research. We have collected various international achievements on the psychological anxiety caused by online exams and solutions, and screened the correctness and universality of these views in order to obtain the best solution based on our research subjects. The second is to conduct empirical research through online exams, which includes three parts: pre exam preparation, exam implementation, and post exam summary and improvement. The third is a survey of candidate satisfaction.Results: In theory, our colleague Lin Xiaojin et al.\u2018s research has proven that online exams are feasible. Practitioner Yue Sun also believes that universities should give more consideration to the selection and construction of online platforms, and carefully arrange online teaching. In practice, we have conducted ten years of repeated practice and compared the results of the offline exam in 2018 with the online exam in 2020, demonstrating that the results of the online and offline exams are equivalent. Through public opinion surveys, it is believed that online exams are better than offline exams.Conclusions: Online and offline exams have equivalence, and are superior in terms of convenience and fairness compared to offline exams. College students are very satisfied with online exams, with 66.23% of students highly recognizing computer-based exams, 24.12% of students believing that computer-based exams can be used, and only 9.65% of students still cling to traditional offline exams. This indicates that online exams during the epidemic period based on student anxiety resolution are successful.This work has been supported by the Education Department of Hunan Province, China . Professor Tu Jianhua of the Principles Teaching and Research Section of the School of Marxism, Hunan City University, China, has made great contributions to this topic, and other colleagues of the teaching and research section have participated in the research of this topic.a,b, Yuan Yuana,b, Yuntao Liua,b, Shunjie Zhonga,b, Luotong Liua, Liang Liua,cZhiyong Taoa Department of Neurosurgery, Affiliated Hospital of Southwest Medical University, No.25, Taiping Street, Luzhou City, Luzhou, 646000, China, b Neurosurgery Clinical Medical Research Center of Sichuan Province, Luzhou, China, c Neurosurgery Clinical Medical Research Center of Sichuan Province, Neurological Diseases and Brain Function Laboratory, Luzhou, China.Background: VP shunts provide an important means of treating hydrocephalus, and infection is one of the main complications after a shunt placement operation. Infection can cause intellectual damage and ventricle separation and even lead to patient death. According to the affected site, infections associated with VP shunts can be classified as wound infections, meningitis, peritonitis, and shunt infections. Shunt infection caused by gastrointestinal perforation is a rare complication after VP shunt placement. After gastrointestinal perforation, intestinal bacteria can enter the intracranial system through the shunt, leading to ventriculitis, meningitis and even infection of intracranial nerves and brain parenchyma. At present, the cause of gastrointestinal perforation after VP shunt placement is not clear. We report a case of the intestinal penetration of a traumatic hydrocephalus-associated VP shunt in which intracranial infection resulted.Subjects and Methods: A patient of admitted to the neurosurgery department from October 2011 in Affiliated Hospital of Southwest Medical University was enrolled in the study. A case report.Results: The patient was a 10-year-old male with car accident-related injuries resulting in a consciousness disorder that required hospitalization. The diagnosis at admission was diffuse axonal injury. During hospitalization, the results of a head CT showed that the patient had hydrocephalus, and the patient received a ventricular abdominal shunt. Postoperatively, the patient could open his eyes on his own and had a GCS score of 7 points; 4 months after surgery, the patient developed a high fever. A head CT examination suggested bilateral lateral ventricle posterior angle abnormal density fluid level on imaging, which supported a suspicion of intracranial infection. The patient\u2019s abdominal CT examination showed a drainage tube that visibly ended in the ascending colon. The child underwent laparoscopic exploration, and the abdominal end of the tube was found to have entered the intestine. The patient\u2019s drainage device was removed, and the patient underwent external drainage surgery. Postoperatively, anti-infection and antiepilepsy treatments were given. Two months after surgery, the patient died due to circulatory failure.Conclusions: Infection is one of the main complications after shunt placement; a shunt infection due to gastrointestinal perforation is a rare complication after VP; and neurosurgeons should pay close attention to the development of intracranial infection after VP shunt placement.Experimental study on the effect of TPO on apoptosis and inhibition of brain edema, Luzhou Science and Technology Bureau, No.2021-JYJ-63.a,b, Zehua Panb, Minhan XieaPeng Hana Xiamen Huaxia University, Xiamen 361024, China, b Japan and South Korea Creative Entrepreneurship Research Center, Liaoning University, Shenyang 110036, China, c Jiangxi Industry Polytechnic College, Nanchang 330099, China.Background: This paper aims to analyze the influence of perceptual elements in agricultural product packaging on the purchase intention and psychological sentiment behavior of consumers from consumer psychological perception.Subjects and Methods: This paper applied a combination of internet content analysis and the IPA model analysis to capture comment information on consumer about agricultural products packaging on the Internet and used the ROST CM6 software to perform high-frequency vocabulary, semantic network, and emotional perception analysis on internet content. This research summarized and encoded the agricultural product packaging elements that affect the purchase intention and emotional behavior of consumers. At the same time, this paper used the IPA analysis to construct the analysis model. It analyzed the influence of the satisfaction and attention of each perceived factor in the packaging of agricultural products on the purchase intention and psychological needs of consumers.Results: The results showed that perceptual factors such as packaging appearance, capacity space, and material significantly impact the purchase intention and emotional behavior changes of consumers. Meanwhile, the aspects of low consumer satisfaction, such as packaging pattern, durability, and bearing capacity, needed to be further optimized.Conclusions: This paper analyzed the influence of perceptual elements on the purchase intention and changes of psychological emotional behavior of consumers from the perspective of consumer psychological perception. It summarized the theoretical ideas of agricultural product packaging design in line with the perceived value and psychological emotional behavior of consumers and enriched the research content of agricultural product packaging.This work was supported by a project grant from education and research project of young and middle-aged teachers in Fujian Province in 2022, Grant number (JAS22213).a, Zhiyong Taoa, Yuan Yuana, Shunjie Zhonga, Liang LiuaYuntao Liua Department of Neurosurgery, Affiliated Hospital of Southwest Medical University, Luzhou 646000, China.Background: Intracranial teratomas, which represent 0.5% of all intracranial tumors and 2\u20134% of pediatric intracranial tumors, can be classified into mature, immature and malignant types depending on histological variation. Most intracranial germinomas occur in the midline. Teratomas are commonly found in the pineal gland and suprasellar region but rarely in the third ventricle. Rupture of mature teratomas is a rare event. To date, only four cases of intracranial teratoma rupture have been reported: a spontaneous teratoma rupture in a 16-year-old female and a teratoma rupture in a 45-year-old male, while the other two patients died during the fetal period. Intracranial teratoma rupture with hemorrhage, on the other hand, has never been reported. We were the first to report a case of spontaneous rupture and hemorrhage of pediatric teratoma and achieved a good outcome through surgical treatment.Subjects and Methods: This study reports a 9-year-old boy who was hospitalized due to symptoms such as lethargy accompanied by headache, nausea and vomiting. Cranial computed tomography (CT) revealed a mass with hemorrhage in the third ventricle. MRI revealed a mass in the third ventricle with hemorrhage and an intraventricular hematocele.To solve the symptoms caused by hydrocephalus and tumor hemorrhage, bilateral ventriculocentesis and drainage were performed and then tumorectomy was performed through a transcallosal approach. Postoperative pathology showed mature teratoma rupture with hemorrhage.Results: After the operation, the serum AFP decreased to normal, and \u03b2HCG was significantly reduced (32.78 mIU/ml). The patient had clear consciousness and little speech when discharged from the hospital. His right upper and lower limb muscle strength was grade 4, his left limb muscle strength was normal. Enhanced MRI reexamination revealed no residual tumor or recurrence 3 months after surgery. Currently, the patient is in good condition and can walk independently without signs of tumor recurrence.Conclusion: To the best of our knowledge, this is the first report of mature teratoma rupture with hemorrhage in the third ventricle. We performed serum \u03b2HCG tests on the pediatric patient before and after surgery and found that the preoperative blood \u03b2HCG was >1,000 mI/ml, while the postoperative \u03b2HCG declined significantly to 32.78 mIU/ml, thus proving the possible diagnostic value of \u03b2HCG for teratomas. We proposed a treatment scheme in which the symptoms of tumor apoplexy and hydrocephalus are relieved by ventricular drainage prior to performing tumor resection. With these procedures, the patient had a good outcome, without the presence of residual tumor or recurrence during follow-up.a, Jiuwang Yub, Zhiheng Dongc, Dusubilige Wend, Lidao Baob, Lan WudSachula Baoyina Beijing University of Chinese Medicine, Beijing, 010030, P. R. China, b Hohhot Hospital of Traditional Chinese Medicine and Mongolian Medicine, Hohhot, Inner Mongolia, 010030, P. R. China, c Department of Pharmacy, Affiliated Hospital of Inner Mongolia Medical University, Hohhot, Inner Mongolia, 010059, P. R. China, d Mongolia Medical School, Inner Mongolia Medical University, Hohhot, Inner Mongolia, 010110, P. R. China.S Baoyin and JW Yu contribute equally to this work.Background: In this study, the protective mechnism of traditional Mongolian medicine Nagab-9 on acute lung injury model rats and its material base were discussed.Method: Acute lung injury model were developed using SPF SD male rats by bleomycin thorugh trachea injection (3.5\u2005mg/kg). Then, model rats randomly devided into Nagab-9 middle dose (126\u2005mg/kg), Nagab-9 high dose (252\u2005mg/kg) and dexamethasone groups, 12 rat each group. Rats of sham-operated group were given same amount of physiological saline. Drug was given for once a day and continued for 21 days. Lung pathological changes were observed by HE staining method. The level of serum TNF-a and IL-6 were detected by ELISA and qPCR. The differentially expressed genes comparing different groups were examined by transcriptional screening technique and validated by qPCR. Also, related signaling pathways were analyzed through KEGG and GO analysis. The active metabolic compounds of Nagab-9 were tested by UPLC-QE-MS/MS untargeted metabolic assay and the active molecules from Nagab-9 were observed. Furthermore, AutoDock Tools (1.5.6) was used to analyze the detected active molecule of Nagab-9 and its target. Finally, the level of NF-kB in lung tissue was tested by immunohistochemistry and the level of proteins Raf, p-Raf, MEK1/2, p-MEK1/2, ERK1/2, p-ERK1/2, Nur77 was analyzed by western blot.Result: Nagab-9 effectively reduced the level of inflammatory factors TNF-a and IL-6 in serum of ALI rats. Transcriptomic analysis found the expression level of NR4A1, Raf, Mek, ERK and NF-kB genes were significantly regulated by Nagab-9. KEGG and GO analysis showed MAPK signaling pathway was significantly mediated, especially, NR4A1 was highly expressed in model. Serum pharmacology result showed 24 of Nagab-9 compounds. Among them, small molecule lidocaine showed coorelation with MEK/ERK and NF-kB pathway. Molecular docking result revealed that the the interacting score of lidocaine and Nur77 was -5.0. Lidocaine was also detected and quantified in blood sample. qPCR and western resluts indicated that Nagab-9 can significantly down-regulate NR4A1, Raf/Mek/ERK, NF-kB at protein level in the lung tissue of ALI rats.Conclusion: Nagab-9 can effectively relieve normal symptoms and lung pathalogical changes of ALI rats. The possible molecular mechanism is that the small molecule lidocaine from Nagab-9 inhibit the expression of NR41 and prevent Raf/Mek/ERK pathway, thereby prohibit Raf/Mek/ERK pathway and consequently decrease NF-kB inflammation and reaction.This research is funded by the following projects: Natural Science Foundation of China (No. 82160794 and 82160703); Natural Science Foundation of Inner Mongolia Autonomous Region (No. 2020MS08106); Project of Health Science and Technology in Inner Mongolia Autonomous Region (No. 202201238); Inner Mongolia Autonomous Region Chinese Medicine (Mongolian Medicine) Young and Middle-aged Leading Talents Cultivation Project; Grassland Yingcai in Inner Mongolia Autonomous Region; Qihuang Scholar.a, Fangfang Mab, Gongxing Wub, Huiyuan ZoubYanhong Lia School of Management, West Yunnan University of Applied Sciences, Dali, 671000, China, b School of Management Engineering and Electronic Commerce, Zhejiang Gongshang University, Hangzhou, 310018, China.Background: In recent years, the COVID-19 pandemic, the China-Us trade war and other events have caused an unprecedented impact on globalization. The profound adjustment and restructuring of the global industrial chain have had a profound impact on the supplier and customer relations and trade development of enterprises. At the present time of fluctuating global economic situation, how to build a solid trade relationship network and consolidate the psychological and emotion relationship network of both sides of the trade is worth in-depth discussion in a scientific and effective way. In the context of the digital economy, this study analyzes and discusses the mechanism of the supplier - customer relationship network affecting the high-quality trade development from the perspective of emotion regulation.Subjects and Methods: Using enterprise supplier - customer data to construct enterprise supplier - customer relationship network, calculate PageRank value to depict enterprise supplier - customer relationship strength, and use the data of China\u2019s A-share listed companies from 2010 to 2020 to carry out empirical research. The influence mechanism of supplier - customer relationship network on trade quality development under the adjustment of digitalization degree and marketization degree is analyzed. The methods proposed in this study can also be further developed theoretically from the perspective of emotional regulation. Through the construction of a network of psychological and emotional exchanges and win-win cooperation, it can provide strong support for a more solid and stable e-commerce trade, so as to promote the high-quality development of China\u2019s trade.Results: The results show that both the supplier and customer network relationship and its proportion have a positive and significant impact on the development of trade quality. Both the degree of digitalization and the degree of marketization have a positive interaction effect on the relationship between supplier - customer relationship network and trade quality development. Moreover, in the market environment with weak environmental uncertainty, the supplier - customer relationship network is more significant to the high-quality trade development, and the moderating effect of the degree of digitalization and the degree of marketization of enterprises is also stronger. Under a stable emotional regulation network, both sides of the trade can adjust their trade psychological health and maintain high-quality economic and trade development with positive behaviors and communication trends.Conclusions: Based on the calculation results and theoretical analysis of this study, we can deeply study the influence mechanism of supplier-customer relationship network to promoting high-quality trade development from the perspective of digital economy and emotion regulation, analyze the various characteristics of cross-border e-commerce in modern enterprise trade which are different from traditional trade, and analyze how to regulate supplier-customer emotional network relationship, maintain a positive attitude under the situation of good behavior, high-quality economic and trade development. At the end of the paper, some directional suggestions are given for further research.Supported by the Digital Trade and Silk Road E-commerce Engineering Research Center of Yunnan Provincial Education Department and Major scientific and technological support projects in Dali prefecture \u201cThe Application of Digital Trade and Cross-border E-commerce in Dali Prefecture\u201d.a, Ri Chena, Qihui MaaJiayi Wanga Cilin Hospital, Ningbo, Zhejiang Province, China.Objective: To explore the effect and safety of calcium polycarbophil combined with compound polyethylene glycol electrolyte powder on bowel preparation for colonoscopy.Methods: A total of 539 patients undergoing colonoscopy and treatment in Cixi Cilin Hospital, Ningbo, Zhejiang Province from January 2021 to July 2022 were randomly divided into three groups: A, B and C. Study group A (n=180) adopted calcium polycarbophil tablets within 48 hours before taking compound polyethylene glycol electrolyte powder in preparation for intestinal colonoscopy. Study group B (n=180) adopted calcium polycarbophil tablets within 72 hours before taking compound polyethylene glycol electrolyte powder in preparation for intestinal colonoscopy. Control group C (n=179) only took compound polyethylene glycol electrolyte powder for intestinal cleansing. The intestinal cleaning effect and antifoam effect of the three groups were evaluated by the Boston Bowel Preparation Scale (BBPS), and the adverse reactions during the bowel preparation of the three groups were observed.Results: The Boston scores were corrected by the Bonferroni method. The intestinal cleanliness and antifoam effect of the patients in study group A and study group B were significantly higher than those in control group C and there were significant differences (P<0.001). There were no significant differences in intestinal cleaning effect and antifoam effect of the patients between group A and group B which points the effects in the two groups were equivalent. No serious adverse reactions occurred in all three groups, and the incidence of adverse reactions was low without statistical difference between groups (P>0.05).Conclusion: The effect of taking calcium polycarbophil tablets combined with compound polyethylene glycol electrolyte powder for intestinal preparation 48 hours and 72 hours before colonoscopy are better than that of using compound polyethylene glycol electrolyte powder alone which are safe and acceptable with low incidence of adverse reactions and no serious adverse reactions.This work was supported by the under Grant [number CN2018010].a, Qian Lia, Yesong Chenga, Fei Pengb, Dingqiang HuangaWujun Zoua Department of otorhinolaryngology head and neck surgery, Chengdu Second People\u2019s Hospital, Chengdu 610000, China, b Department of Anesthesia, West China Hospital of Sichuan University, Chengdu 610000, China.Background: Tonsillectomy is one of the most frequent operations performed by otolaryngologists in children. Hence, it is essential to prevent postoperative complications in children undergoing tonsillectomy. A successful preoperative education might prevent postoperative complications. This study aimed to investigate the effect of preoperative education using a cartoon video for the prevention of postoperative complications in children scheduled for tonsillectomy.Subjects and Methods: A total of 154 patients scheduled for elective tonsillectomy met the inclusion and exclusion criteria and were randomly divided into the control (77 cases) and cartoon video (77 cases) groups. Patients\u2019 eline data were carefully recorded. The duration of operation, intraoperative blood loss, postoperative diet recovery time, VAS pain scores on the first, third and seventh day after surgery, tonsillar fossa infection, the incidence of postoperative bleeding, upper respiratory symptoms and digestive symptoms was evaluated.Results: Compared with the control group, the average visual assessment score (VAS) pain scores on days 1 and 3 after surgery were significantly decreased in the cartoon video group (P < 0.05). Moreover, the eating time was markedly reduced in the experimental group (P < 0.05). There was no significant difference in intraoperative blood loss, postoperative pain score (day 7), postoperative bleeding, tonsillar fossa infection, digestive symptoms and upper respiratory tract infections.Conclusions: For children scheduled for tonsillectomy, preoperative communication using the cartoon video can effectively improve postoperative recovery. The cartoon video can help children understand the contents of preoperative education more easily, deserving extensive promotion.aChen Chena School of Business Management, Hangzhou Polytechnic of Science and Technology, Hangzhou, China.Background: By investigating the employment quality of e-commerce employees and its impact on Subjective Happiness, this paper proposes countermeasures for improving employment quality that can improve the happiness of e-commerce employees, and provides opinions and suggestions for e-commerce employees, governments, universities and enterprises.Subjects and Methods: Taking e-commerce employees of small and medium-sized enterprises in Hangzhou, Ningbo, Wenzhou, Taizhou, Jinhua and Yiwu as the research objects, this paper adopts the subjective and objective evaluation indicators of employment quality and the data of 379 valid questionnaires collected from the survey to study the employment quality and its impact on Subjective Happiness. In the research process, questionnaire survey, field survey, interview and other methods are mainly adopted. The questionnaire designed was answered by Likert\u2019s 5-point scale. In the data processing process, SPSS software and Excel were mainly used to carry out statistical analysis. For example, univariate analysis , bivariate analysis , or multivariate correlation analysis is used.Results: (1) Among the four dimensions of employment quality, the average score of interpersonal relationship is the highest, followed by job adaptation and career development, and the score of work intensity is the lowest. (2) Most people think they can adapt to their current jobs, and as they grow older, they become more adaptable; (3) E-commerce employees work long hours and are under great pressure, but they are still looking forward to their work; (4) Most people pay more attention to whether their job has development prospects and whether doing this job has harm to their health. The happiness index of a job with prospects and good health is high; (5) They think their spare time is colorful, but they don\u2019t have enough time to spend with their families; (6) Career development, job adaptation and interpersonal relationship have a significant positive impact on job Subjective Happiness, and work intensity has a significant negative impact on job Subjective Happiness; Career development, job adaptation and interpersonal relationship have a significant positive impact on Life Subjective Happiness, while work intensity has a significant negative impact on Life Subjective Happiness.Conclusions: In order to improve the Subjective Happiness of e-commerce employees, it is suggested that the government level, enterprise level and individual level make joint efforts to create a fair and just competition environment for the e-commerce industry and promote the realization of higher quality employment of e-commerce employees, including the establishment of supervision mechanism and the improvement of social insurance mechanism. Pay attention to the career development of employees, improve the welfare and compensation system, give full play to the initiative of employees; Do a good job planning, according to interests and professional ability to choose positions and other countermeasures.a, Jun Denga, Zhihua Liaob, Si Chenc, Rongjun ZhaoaYuxiao Luoa Department of Foreign Languages, Zhongshan Institute, University of Electronic Science and Technology of China, Zhongshan, Guangdong, 528402, China, b Department of Humanities, Shanghai University of Finance and Economics, Shanghai, 200433, China, c Department of Nursing, Southwest Medical University, Luzhou, Sichuan, 646000, China.Background: Mobile learning has been regarded as an essential scheme to optimize the allocation of educational resources and to ensure the fairness of education. Scholars both domestically and internationally have conducted the extensive research on mobile learning by utilizing the UTAUT model and other related prior models, in order to glean insights and ideas for improving learners\u2019 emotional and behavioral experiences during the mobile learning process. However, compared with the general College English, the influencing factors of behavioral emotions in the mobile learning process of Medical English have rarely been included in the current massive amounts of studies.Methods: Based on the UTAUT model, a schematic model of the influencing factors was constructed, and a quantitative questionnaire was designed to profoundly explore the influencing factors of behavioral emotions in the mobile learning process among Medical English learners. The questionnaire scale includes participants\u2019 moderating factors, critical factors, and behavioral emotions, which involves 50 declarative sentences. The simple random sampling was applied to choose 180 participants from 360 learners in Medical English. The descriptive statistics, Pearson Chi-Square analysis, Pearson correlation analysis, and regression analysis have been employed to validate hypotheses.Results: There are no significant differences in participants\u2019 behavioral emotions including potential intentions and genuine attitudes to embark on the mobile learning behaviors with the aid of modern information technology when participants are grouped into male-science, male-liberal arts, female-science, and female-liberal arts. There is a positive significant correlation between participants\u2019 voluntary and four critical factors. There is also a positive significant correlation between participants\u2019 experience and four critical factors. Participants\u2019 moderating factors positively correlate with their behavioral emotions, including potential intentions and genuine attitudes. The univariate linear regression analysis shows that there is a linear regression relationship between participants\u2019 extent of facilitating condition and their behavioral emotions, between participants\u2019 extent of effort expectancy and their behavioral emotions, between participants\u2019 extent of social influence and their behavioral emotions, and between participants\u2019 extent of performance expectancy and their behavioral emotions.Conclusions: The results of this study imply that participants\u2019 psychological capital can not only help them identify the critical influencing factors, but also mobilize their own behavioral emotions including potential intentions and genuine attitudes, which may finally be transformed into the practical mobile learning behaviors. This research may not only provide some inspirations for administrators and teachers to improve behavioral emotions of learners in the mobile learning process, but also usher in some theoretical and practical implications for researchers who intend to conduct relative studies in the near future.Supported by projects\u2019 grant from Research on Influencing Factors of Learners\u2019 Stickiness in the First-Class Course from the Perspective of Social Cognition Theory (Grant No. GD22XJY18); Research on the Intervention Mechanism of College Students\u2019 Psychological Health Based on Self-Regulation (Grant No. 2021GXSZ117).a, Chuna Chena, Pan Chena, Xiaojun Jinb, Qingtian Menga, Xuchang ZhangcYanxia Qina Department of rehabilitation medicine, Second Affiliated Hospital of the Chinese University of Hong Kong, Shenzhen, 518172, China, b Imaging Department, Second Affiliated Hospital of the Chinese University of Hong Kong, Shenzhen, 518172, China, c Department of Geriatric Medicine, Second Affiliated Hospital of the Chinese University of Hong Kong, Shenzhen, 518172, China.Background: It is well known that swallowing is a more complex sensorimotor activity, which includes both the voluntary movement but also the non-voluntary movement. All of these movements require the brain stem, the cortex and the nerves around the brain stem to regulate. Stroke is an important cause of patients with swallowing disorders, in the process of clinical treatment of swallowing disorder patients after stroke, medical staff by taking transcranial direct current stimulation has achieved good experimental results, and transcranial direct current stimulation as a new type of non-invasive brain nerve stimulation technology, is increasingly applied to the clinical after stroke swallowing function rehabilitation. However, the injury mechanism after cerebral hemisphere stroke is yet clear. This article mainly analyzes by taking the stroke patients transcranial direct current stimulation can improve the specific function of swallowing, and contrast into the patients of side, side swallowing cortex transcranial direct current excitatory stimulation after specific curative effect difference, the application of blood oxygen level dependent functional magnetic resonance imaging (BOLD-fMRI) technology in before and after tDCS treatment brain structure and function of imaging data, analysis of tCS on the cortex, clear swallowing function rehabilitation and brain function activation mode, location is relationship.Subjects and Methods: By selecting 60 patients with swallowing disorders who came to our hospital from January 2021 to November 2022, and by using a random allocation of numbers. They were divided into three groups: affected side group, healthy side group and control group, for these three groups of patients are subjected to routine swallowing training, ice stimulation, and functional electrical stimulation therapy, for patients in the healthy group and patients in the affected group. On the basis of swallowing training, ice stimulation, and functional electrical stimulation therapy, give excitatory stimulation on the healthy side and excitatory stimulation on the affected side, respectively.Results: After treatment of the 60 patients, the SSA scores were significantly higher in all three groups than before treatment, Healthy side group> affected side group > control group; swallowing lithography (VFSS) examination: before treatment than after treatment, and healthy side group > affected side group > control group; cranial fMRI examination: blood oxygen level dependent method (BOLD-fMRI) examination showed bilateral anterior central gyrus, posterior central gyrus, cingulate gyrus, insula, prefrontal, cuneus swallowing activation area, respectively, more than and stronger than before treatment, and the healthy side group > affected side group > control group.Conclusions: In conclusion, after treatment, the patients in the healthy group were significantly higher than patients in the affected group and the control group, and the difference between the affected group and the control group was not statistically significant.This work was supported by the Shenzhen Longgang District Economic and Science and Technology Development Special Fund for Medical and Health Science and Technology Project (LGKCYLWS2020001764).a, Shuoyang ZhaobYanqiu Yanga Director of Hospital Infection-Control Department, Beijing Daxing District People\u2019s Hospital, Beijing 102600, China, b Beijing Jishuitan Hospital, Beijing 100096, China.Background: To evaluate the reliability of ultra-fast fluorescence bio-monitoring method in high pressure steam sterilization monitoring.Subjects and Methods: The software program SPSS 20.0 was used to conduct the statistical analysis. Continuous variables were expressed as mean \u00b1 standard deviation (SD). Discontinuous variables were expressed in percentage (%). P<0.05 was considered statistically significant. We compared two methods under three conditions: 134\u00b0C/70 S, 134\u00b0C/160 S and 134\u00b0C/250 S. The sterilization effect of pressure steam was monitored by these two methods, and the reliability of the ultra-fast fluorescent biological method was evaluated by comparing this with the results obtained through the conventional bio-monitoring method.Results: The one-hour ultra-fast fluorescence test result obtained by the biological reader was highly consistent with the result of the 48-hour incubation with ultra-fast bio-indicators, as well as the incubation result after seven days using the traditional biological monitoring method. It was found that there was no significant difference between these. Using the traditional biological monitoring methods, the cultivation needs a long time, which is not good to the turnover and effective use of surgical instruments. The purchase of more surgical instruments for turnover will need more money, which is generally not approved by the hospital. A better solution is speeding up the cleaning, disinfection and sterilization of surgical instruments. Biological monitoring is the gold standard for surgical instruments, especially those with implants or lumens, and sterilization is mainly a process of killing pathogenic microorganisms. Therefore, the parameters of accelerated biological monitoring were selected for verification, to ensure the safety of surgery and medical treatment while ensuring the speed. When the ultra-fast bio-indicator was self-cultured, 36 of these turned yellow at 48 hours, and 36 of these turned yellow at 168 hour. There was no increase in positive results, and the results detected within one hour were consistent with the final biological culture results. The color change results were identical with those of the traditional bio-monitoring sterilization indicator at the seven-day culture.Conclusions: The one-hour ultra-fast fluorescence bio-monitoring method is extremely accurate and reliable. This method can be widely used to improve the time-efficacy of biological monitoring. In conclusion, the results obtained by this kind of ultra-fast fluorescence biological monitoring method are both accurate and reliable, and can be used in the biological monitoring of high-pressure steam sterilization. This can fundamentally solve the limitation of the long monitoring of traditional biological indicators, realizing a seamless workflow process of cleaning, packaging, sterilization and distribution, and thereby improving the turnover rate and work efficiency of equipment.a, Pengfei LibShaoyu Donga School of Business Administration, Northeastern University, Shenyang, China, b School of Computer Science and Engineering, Northeastern University, Shenyang, China.Background: Chinese family firms have entered a peak period of inheritance, development, transformation, and upgrading; intergenerational succession is bound to affect family firms substantially. The smooth inheritance of a family firm is not only related to the longevity of the firm itself but also to the healthy and sustainable development of the national private economy. Therefore, seeking global-scale development opportunities has become essential for sustainable development for family firms. However, current studies mainly focus on the influence of family firms\u2019 internationalization based on the intergenerational succession scale. Moreover, psychological anxiety is another important factor that can impact family firm internationalization. Starting or expanding a business in a foreign market can be a daunting task, and psychological anxiety can make this process even more challenging. Few studies focus on family firm successors\u2019 psychological anxiety at different stages of succession, and few focus on the intrinsic logic and action mechanism of second-generation successors\u2019 impact on family firm internationalization. In this paper, we innovatively combined the concept in cognitive psychology to understand better the influence of intergenerational succession and psychological anxiety on family firm internationalization.Subjects and Methods: In this paper, we explored the internal mechanism of intergenerational succession that affects the degree of internationalization of family firms and further proposed a series of theoretical hypotheses based on the characteristics of China\u2019s trade policy environment and the actual situation of the intergenerational succession of family firms. This paper takes 1219 listed family businesses in China from 2010 to 2018 as a sample to study intergenerational succession\u2019s impact on the degree of internationalization.Results: By providing comprehensive empirical tests, we found a positive correlation between family firm intergenerational transfer and the degree of internationalization. Further tests, such as instrumental variables, Tobit regression, and robustness tests, show that: (1) intergenerational succession has a significant positive impact on the degree of family firm internationalization, and the results still hold after considering potential endogeneity issues and conducting a series of robustness tests.; (2) through analyzing of mediating effect test results, we find that increases in long-term borrowing and corporate social responsibility is an important means for intergenerational succession to enhance internationalization; (3) the heterogeneity analysis results reveal that family firms belonging to the high-tech industry can promote the degree of internationalization in the stage of intergenerational succession, and compared with the period of parent-child co-governance, \u201csecond-generation autonomy\u201d can promote the degree of internationalization because it eliminates the psychological anxiety of managers.Conclusion: Our study enriches the research in intergenerational succession on the degree of internationalization of family firms, and we also provide a reference for exploring family firm inheritance and maintaining long-term competitiveness by providing four aspects of suggestions.This work was supported by National Natural Science Foundation of China (No. 71873027); Humanities and Social Science Foundation of Ministry of Education of China (18YJA790063).aRenlin Guoa Beijing Enterprise Safety and Environment Information Science Research Institute, Beijing, China.Background: Psychological health is the foundation of safety culture. This article uses the DEA-tobit model to evaluate the safety culture of enterprises, and proposes policy recommendations to improve the level of psychological health.Subjects and Methods: Mental health is the focus and important aspect of safety culture construction. Based on clarifying the concept of mental health, this article reviews the literature on mental health and evaluates the efficiency of safety culture from the perspectives of industry and enterprises using the DEA-Tobit model. The level of mental health is calculated, and policy recommendations are proposed based on the research conclusions.Results: Research based on the measurement of mental health and safety culture shows that there is a positive correlation between mental health and safety culture levels in coal mines. The higher the level of mental health, the higher the level of safety management in coal mining enterprises. Therefore, coal mining enterprises must clarify the importance and necessity of mental health, in order to build a strong level of safety culture, reveal the relationship between safety culture and mental health, and have significant implications for improving the level of coal mine safety management. This will enable coal mines to increase safety investment, establish long-term mental health concepts, and comply with various safety production and investment regulations.Conclusions: The research conclusions of this article include improving the mental health level of coal mines, increasing safety investment, establishing a soft culture of coal mine safety, enabling employees to establish correct mental health concepts, accelerating enterprise modernization, improving safety management level, raising the entry threshold for frontline employees from the perspective of mental health, strengthening investment in safety training and education, improving and improving labor union organizations, and increasing investment in safety funds and scientific research funds, Effectively improving the level of mental health and safety culture.This research was supported by Shandong Social Science Planning and Research Project: Research on the comprehensive allocation level measurement and optimization strategy of urban innovation factors in Shandong Province under the digital economy (22DGLJ23).a, Changgan FangbWei Qina Youth League Committee of Wuzhou University, Wuzhou, Guangxi 543002, China, b Department of Scientific Research, Wuzhou University, Wuzhou, Guangxi 5430002, China.Background: With the continuous deepening of global modernity, traditional dance must undergo new adaptation and reproduction under the influence of modernity. Dancers have psychological problems such as stage fright, excessive excitement, and ineffective emotional expression in the process of traditional dance reproduction.Subjects and Methods: From the perspective of dance psychology, this study takes dancers in the reproduction process of the Zhuang traditional board shoe dance \u201crun for the sun\u201d as the research object, and uses qualitative research methods to conduct the research. By using the researcher as the research instrument, the non-scale methods such as personal in-depth interviews, focus group interviews, state observation, and psychoanalysis were employed to investigate the dancers\u2019 psychological phenomena as a whole in a natural context. The author collected and recorded data in various aspects, analyzed the data using inductive methods to form theories, gained an interpretive understanding of the dancers\u2019 movement behaviors and meaning constructions through interaction with the research objects.Results: Based on the choreographer\u2019s requirements of neatness, upper-air technical difficulty, and character portrayal for the dancers in the traditional dance reproduction, the psychological problems that the dancers encounter or exhibit in the traditional dance reproduction and the adverse effects on the dancers\u2019 physical and psychological health are analyzed. On this basis, by observing the dancer\u2019s psychological quality and character traits, it was analyzed that the dancer\u2019s psychological problems are caused by unsound psychological quality, which trigger unstable behaviors such as nervousness and stiff limbs. Based on the analysis of psychological problem images and causes, effective methods are proposed to overcome the psychological problems in the traditional dance reproduction, and finally the reproduction of traditional dance and the construction of dancers\u2019 psychological health are completed.Conclusions: The results show that psychological intervention based on dance psychology can achieve the effects of stabilizing self-emotions, improving self-confidence and enhancing cultural quality, which plays an important role in the cultivation of dancers\u2019 physical and psychological health.This work was supported by the 2019 Annual Stage Art Creation Founding Project of National Arts Foundation under Grant 2019-A-02-(079)-0211.a, Tiantian Wanga, Li Zhua, YanQiong Goua, Hui Tana, JinZhi MaaYuan Wena Yellow River Sanmenxia Hospital, Henan Province, Sanmenxia 472000, China.Background: Objective Analysis found that the young urethral orifice mass as the main manifestation, and misdiagnosed as vagina, clinical diagnosis and treatment of vegetation, in order to improve the understanding of the disease.Subjects and Methods: Reviewing a case admitted to Sanmenxia Hospital in Henan Province, the clinical and laboratory examination data from January 27, 2023 to February 2, 2023, reviewed relevant documents, analyzed the causes of the misdiagnosis and summarized the literature.Results: In this case, the child was misdiagnosed as the vaginal burden because the child could not cooperate with the examination, and the final intraoperative exploration was hysteroscopy after anesthesia, and after detailed examination, it was confirmed as the uroid mass, and the pathology was confirmed as condyloma at the urethral mouth after resection. The main reasons for delayed diagnosis and misdiagnosis include: lack of awareness of the disease. Failed to grasp the exclusion features of diagnosis, the medical history was not detailed, and the children could not cooperate with the physical examination. The incidence of vaginal and urethral mass was low. Young period, vaginal and urethral anatomical position, when long vegetation larger, mass root through simple physical examination is not easy to find, children fear and fear for detailed physical caused difficult.Conclusions: the conclusion of seemingly young vaginal oral redundant cases for clinical characteristics, because of the young vaginal, urethral opening distance close, difficult to identify, need to find the urethral opening anatomical location if failed to find obvious urethral entrance or children completely cannot cooperate, need to consider the urethral opening mass, and urethral opening mucosal valgus may be, need further examination under anesthesia. In order to avoid misdiagnosis and mistreatment. Condyloma acuminata is less rare, condyloma acuminata growing around the urethral opening is rarer, friction tissue edema, easy to misdiagnosed vaginal tumor and urethral opening mucosa valgus. Therefore, young girls to prevent such diseases pay attention to improve their own immunity and resistance, but also to prevent other ways of infection.a, Dawei LiuaQian Lia College of Public Management, Guizhou University of Finance and Economics, Guiyang 550025, China.Background: Whether the regional disparities in the development of higher education in China have changed since the implementation of the connotative development has received widespread attention from the society. However, few studies have focused on this issue based on statistical data. The regional disparities in higher education development have a direct impact on the difficulty and quality of students\u2019 college admission, which in turn can affect the psychological needs of students from different regions for entering their ideal universities and their anxiety towards college admission.Subjects and Methods: Using a panel data approach covering the period of 2013-2020, this study comparatively analyzed the regional disparities in higher education development in the Eastern, Central, Western, and Northeastern regions of China as well as across provinces. Furthermore, the study explored the possible impact of these disparities on students\u2019 anxiety about college admission.Results: From 2013 to 2020, the number of regular institutions of higher education per million people in China increased from 1.82 to 1.94. Notably, the densities of institutions of higher education in Beijing and Tianjin were much higher than in other provinces, at 4.20 and 4.04 institutions per million people, respectively. With regard to high-level educational resources, in 2020, the number of doctoral students in Beijing exceeded that of undergraduate students by 20%, while the number of master\u2019s students exceeded that of undergraduate students by 55%. Meanwhile, in some western provinces, the number of doctoral students was still less than 1% of the undergraduate student population. The proportion of GDP allocated to higher education increased from 1.33% in 2013 to 1.41% in 2020 on a national level.Conclusions: Since the implementation of the connotative development, the disparity in the scale of higher education among different regions in China has gradually narrowed. The distribution of high-level educational resources in the central and western regions lags significantly behind that in the eastern regions. The regional differences in high-level education have a direct impact on students\u2019 psychological expectations for college entrance, which in turn leads to varying degrees of college-going anxiety.This paper was supported by the Humanities and Social Sciences Project of the Ministry of Education of China (22XJA790005) and Research Initiation Projects for Introduced Talents of Guizhou University of Finance and Economics (2018YJ44).a,b; Yunru Sic; Jian XiaodNali Shena Business School, Southwest University of Political Science and Law, Chongqing 401120, China, b China Region Public Brand Research Center at Southwest University of Political Science and Law, Chongqing 401120, China, c School of Public Management, Chongqing University, Chongqing 400044, China, d School of Mathematics and Statistics, Chongqing University, Chongqing 401331, China.Background: In this paper, we study the incentive mechanism of customer knowledge sharing and revenue sharing designed by the manufacturer as the core firm in the supply chain based on emotional behavior in big data environment. The value of customer knowledge sharing and potential barriers were analyzed, then by designing an effective incentive mechanism to create a positive emotional climate that fosters customer knowledge sharing and ultimately leads to better cooperation benefits for both retailers and the manufacturer.Subjects and Methods: Considering retailers\u2019 emotional behaviors, a principle-agent theory method was used to build mathematical models to analyze behaviors of manufacturers and retailers. The organization emotional behavior theory about incentive was also used to analyze the original organizational psychological states and changes after executing incentive mechanism. And a numerical method was applied to describe change trends of the main factors for knowledge sharing between electronic retailers and manufacturers.Results: there is a positive correlation between a single e-retailer\u2019s effort level of customer knowledge sharing to maximize its expected revenue based on its emotional behavior in big data environment, and the proportion of revenue sharing and the number of e-retailers owned by the manufacturer. The optimal revenue sharing ratio obtained by e-retailers is negatively correlated with the manufacturer\u2019s customer knowledge innovation ability and the number of e-retailers owned by the manufacturer, but positively correlated with the e-retailers\u2019 customer knowledge sharing ability.Conclusions: Revenue sharing incentive is an effective mechanism based on organization emotional behavior. The number of manufacturer-owned e-retailers have a positive effect on e-retailers\u2019 efforts to improve customer knowledge sharing. The optimal revenue-sharing ratio was related with the effort elasticity coefficient the manufacturer and retailers, and emotional behaviors would affect their efforts in the process of knowledge sharing. The incentive mechanism for customer knowledge sharing has changed the organizational emotional behavior of retailers, affected the emotional behavior of manufacturers, would promote knowledge sharing between both parties, and ultimately improved cooperation performance. Therefore, in the knowledge sharing cooperation between retailers and manufacturers in big data context, analyzing the organizational emotional behavior before cooperation, designing incentive mechanisms to affect their emotional behaviors, motivating both parties to make efforts to share customer knowledge, which can promote cooperation benefits for both parties.This work supported by a project grant from National Social Science Fund of China (18BGL102).a, Runzhao Qib, Xue Baic, Ke HuangaWenjing Donga School of Architecture and Urban Planning, Chongqing Jiaotong University, Chongqing, China, b School of Architecture and Environmental Art, Sichuan Fine Arts Institute, China, c Institute of Architecture & Planning Design Co., Ltd., Chongqing University, Chongqing, China.Background: Public health is a public service that is related to the public health of a country or region, and the prevention of major infectious diseases is the top priority. Driven by the public health affairs of the global COVID-19 outbreak, people pay more and more attention to the indoor air quality in public places. Indoor air quality in public places plays a decisive role in public health, and is an important factor affecting the physical health, work efficiency and mental health of users. As a crowded place, creating good indoor air quality is the necessary guarantee to ensure the physical and mental health of teachers and students and improve the efficiency of teaching activities.Subjects and Methods: Taking public health as the guide, this paper combines many technical measures for the reconstruction of existing classrooms to form different reconstruction schemes, and uses numerical simulation method to compare and analyze the indoor air environment quality of a university classroom in Chongqing under different schemes. The article puts forward built-in thermal insulation, closing the gaps of doors and windows, and setting fresh air as the transformation measures. At the same time, taking into account the use conditions of opening and closing doors and windows, the paper selects five factors that affect the indoor air quality: temperature, humidity, CO2 concentration, O2 concentration, and PM2.5 concentration for comparative analysis.Results: The results show that the increase of thermal insulation layer has the greatest impact on the temperature in the classroom when the doors and windows have gaps; Fresh air has the best effect on reducing CO2 concentration in the classroom, followed by fully open doors and windows; After strengthening the treatment of door and window gaps, closing the doors and windows and ventilating fresh air have the best effect on the control of PM2.5 concentration in the classroom.Conclusions: The effect of continuous fresh air in reducing the concentration of indoor pollutants is better than that of natural ventilation. The internal thermal insulation setting can effectively ensure the indoor temperature. The research results can provide a basis for putting forward a reasonable classroom reconstruction plan, controlling the quality of indoor air environment, and providing a certain reference for creating a comfortable and healthy indoor thermal environment in public places and ensuring public health.a, Shanshan ZhouaXiaocheng Gua Department of Accounting, Anhui Business & Technology College, Hefei, Anhui, China.Background: To verify that Power Business Intelligence (Power BI) tool is more efficient than traditional Excel tool in processing financial data through typical financial cases, and can improve the efficiency of financial personnel data processing. At the same time, using questionnaire survey method, this paper explores the impact of Power BI on the mental health of financial workers in Chinese enterprises from a micro perspective, which is helpful to understand the relationship between the development of financial digitalization and individual behavior at the micro level. To find out the psychological needs of financial workers, and make timely intervention and adjustment, effectively resolve the contradiction, to ensure the efficient and orderly progress of financial work.Subjects and Methods: Excel and Power BI were used to solve financial problems in typical financial cases, and the complexity of the two calculation processes was compared and analyzed to show the high efficiency of Power BI tools in financial number processing. Through a questionnaire survey, we compared and analyzed the work and psychological impact of using Excel and using Power BI to solve financial problems, and discussed the impact of digitalization on financial practitioners from the perspective of psychology.Results: Power BI tools also provide financial workers with more efficient choices in data processing. Our study answers the question of whether the development of financial digitization affects individual psychological health, which has important theoretical and practical significance. In addition, based on China, a typical developing country, the research results have important practical significance for the development of financial digitization in developing countries.Conclusions: Financial digital transformation is an inevitable trend in the digital era. Power BI tool can improve the efficiency of financial workers\u2019 data processing and is an important tool in digital transformation. However, the process of digital transformation will also bring certain psychological pressure to financial workers, including digital overload and cognitive load, which requires timely intervention and adjustment. At the same time, under the background of digitalization, financial personnel need to constantly learn and update their skills, adapt to the changes and challenges of the digital environment, and improve their competitiveness. In order to better participate in the financial business in the digital era.This work was supported by the provincial Quality Engineering Teaching and Research Project of Anhui Province [grant number 2021JYXM0161]; the provincial Quality Engineering Teaching and Research Project of Anhui Province [2022JYXM152]; Anhui Province Teaching and Research Project [2021XJJY19]; Anhui Province Teaching and Research Project [2019XJJXTD01].a, Tieliang Guob, Qing LicJunjie Zhanga Academic Affairs Office, Wuzhou University, Guangxi 543002, China, b College of Electronics and Information Engineering, Wuzhou University, Guangxi 543002, China, c Psychological Counseling Center, Wuzhou University, Guangxi 543002, China.Background: Since the outbreak of new coronavirus pneumonia, it has attracted extensive international attention. In order to understand the impact of this public health emergency on the mental health of young people, The subjects of this survey are all young people aged 18-22..Subjects and Methods: Through the network questionnaire survey, a total of 4305 students were surveyed, including 1222 boys and 3083 girls. This study adopts the self-made general situation questionnaire and the norm of symptom checklist (SCL-90) as well as interviews for factors.Results:In the early and later stages of the epidemic, students\u2019 emotions changed. Most of the students had a good psychological state, while a small number of students had bad emotions such as nervousness, fear and irritability. College students, SCL-90 the difference in the detection rate of symptoms of each factor was not statistically significant. The trend of the factors of different gender students was different before and after the epidemic, and the factors of different levels at different levels, and different data were obtained after the variance.Conclusions: Through mental health testing of 18-22 year olds, comparative analysis of the gap between negative and positive effects, the differences in young people\u2019s personal health adjustment in the face of public health emergencies are studied from the aspects of health philosophy, health knowledge and healthy lifestyle, Explore low-cost paths that can alleviate the lack of medical resources, release the pressure of the medical system, and promote the sustainable development of public health. According to research, since the outbreak of the epidemic, young people with a calm mind have mostly adopted art related adjustment methods. Through promotion, the test was conducted again among young people, and the influencing factors of some young people\u2019s mental health decreased significantly. Therefore, it is suggested that such methods can be used for reference in the adjustment of public health after public health emergencies.The work was supported by the 2022 Guangxi Higher Education Undergraduate Teaching Reform Project (Grant No. 2022JGZ167), and the 2020 Guangxi Higher Education Undergraduate Teaching Reform Project (Grant No. 2020JGB369).a, Caixia WuaXiaobei Huanga School of Economics and Management, North China University of Technology, Beijing, 100144, China.Purpose: The purpose of this paper is to investigate whether investors who develop psychological anxiety will rely more on the management earnings forecast of Chinese listed firms during the coronavirus pandemic.Methods: Based on the quarterly earnings forecasts of all A-share listed companies in China from 2018 to 2021, this paper examines the market reactions of investors to management earnings forecasts before and after the coronavirus pandemic using difference-in-difference methods.Results: The results show that uncertainty due to the coronavirus pandemic can affect investors\u2019 psychological expectations of the future economic situation and induce psychological anxiety, which will trigger investors\u2019 vague aversion, the irrational sentiments lead to pessimistic judgment of investors on the future operation of listed companies, resulting in a significant decline in the market reaction to management earnings forecast during the pandemic. The quality of the management earnings forecast is further controlled in the regression model and the research conclusion remains unchanged, excluding the impacts of information quality on the research conclusion.Conclusions: The coronavirus pandemic has caused unprecedented uncertainty, which also triggers psychological anxiety of investors and affects investment decisions. In the pandemic, investors have demonstrated ambiguity aversions, and less trust in earnings forecasts of corporate management. The results are not driven by the changes in the quality of management earnings forecasts. This research helps the market learn more about the behavioral logic of corporate management and the influence of investors\u2019 decision-making during the pandemic, which can also provide evidence for regulators to further standardize the information disclosure of listed companies and improve the information environment of the Chinese capital market.The paper was supported by National Natural Science Foundation of China (71602004), the Social Science Foundation of Beijing (19GLC059).aQun Wanga University of Jinan, Jinan, Shandong 250022, China.Background: The excellent traditional culture of China is the inexhaustible motive force for the Chinese nation\u2019s endless and sustainable development. Integrating the excellent traditional culture of China into the mental health education in colleges and universities, stimulating the vitality and vitality of the excellent traditional culture of China, and highlighting the value of the times are not only important measures to improve the effectiveness of mental health education for college students, but also important measures to inherit the national spirit blood, absorb rich historical and cultural nourishment, and enhance the national cultural soft power and international discourse power, It is a realistic need to build a socialist cultural power with Chinese characteristics and comprehensively improve the cultural literacy of the people. Given that there are still many problems with the excellent traditional Chinese culture in college students\u2019 mental health education, we must strengthen efforts to promote the creative transformation and innovative development of the excellent traditional Chinese culture.Subjects and Methods: Mental health education in colleges and universities is related to the major issue of cultivating qualified builders and successors of socialism with Chinese characteristics for the new era. We must take scientific and effective measures, adhere to the principle of making the past serve the present, bring forth the new, treat them differently, inherit the useful and discard the useless, draw essence from the excellent traditional Chinese culture, and strive to use all the spiritual wealth created by the Chinese nation to educate people with culture.Results: Do a good job in the creative transformation and innovative development of Chinese excellent traditional culture in college mental health education, and build a harmonious campus culture by exploring the harmonious view of Chinese excellent traditional culture; Pay attention to the space concept of the excellent traditional Chinese culture and do a good job in its \u201cthree entry\u201d work; Develop the dynamic view of Chinese excellent traditional culture, innovate teaching methods, and pay attention to educational effectiveness; Highlight the characteristics of Chinese excellent traditional culture and enrich the carrier of Chinese excellent traditional culture education; Strengthen the people-oriented view of Chinese excellent traditional culture and improve the teaching level of teachers; Adhere to the concept of knowledge and action of Chinese excellent traditional culture, and build a \u201ctrinity\u201d education model of Chinese excellent traditional culture of school, society and family.Conclusions: The excellent traditional Chinese culture is both historical and contemporary; It is both national and global. We should more consciously and actively promote the adaptation of the excellent traditional Chinese culture to the contemporary society and the coordination with the modernization process, better promote the creative transformation and innovative development, and promote the mental health education of college students.This paper was supported by a project from the foundation \u201c Research on the Integration of Excellent Traditional Chinese Culture into the Education and Teaching of Ideological and Political Theory Course\u201d\u20142015 Shandong Provincial Social Science Planning Project (15cszj04).a, Tao Xiaob, Meihong ZhengcYinchou Zhoua Department of Foreign Languages and Literatures, Tsinghua University, Beijing 100084, China, b Institute of Industrial Development and Governance Innovation, Zhejiang Guangsha Vocational and Technical University of Construction, Jinhua, 322103, Zhejiang, China, c School of Social Sciences, Tsinghua University, Beijing 100084, China.Background: Current treatments of transcortical motor aphasia are based on the attribution of typical symptoms and brain regions. However, the large individual differences between patients and the uncertainty of stroke injury areas make it difficult to adapt to the dynamic changes of post-stroke aphasia recovery. In order to make the symptom analysis of transcortical motor aphasia more dynamic and better fit for patients, this study attempts to reexamine the specific symptom representations with the perspective of a holistic process from verbal intent to speech behavior.Subjects and Methods: Based on the neural basis of language processing as well as the results of the PDC model and P-chain model, we have proposed a three-module model consisting of linguistic expression, coordinated connectivity, and motor output \u2014\u2014after generating the expressive intention in part 1 and then projects the expressive intention and content to the motor control system in part 3 through the coordination of part 2 and the motor output of the language after integrating the articulatory organs, thus completing the complete language expression.Results: Language expression can be understood as a process from intention to behavior, in which \u201clanguage production\u201d at the beginning and \u201cmotor output\u201d at the end of the process are linked in a loop, while the aSPPO area is specific for speech-motor connectivity and there is overlap with brain areas damaged in patients with transcortical motor aphasia. Thus transcortical motor aphasia can be at least partially explained by the fact that disruptions in the coordinated connectivity pathway involving the aSPPO area may lead to the inability of individuals to produce effective language output even when the speech production and vocalization sites are functional.Conclusions: Based on brain plasticity and the fact that the aSPPO area is between the hand action area and the oral-facial action area, there may be practical value in two behavioral intervention treatment options for transcortical motor aphasia: assistance in functional overlap areas, which means after training individuals to conceptualize verbal content in the brain (without expressing it) while performing non-verbal actions such as licking their lips and smiling, the originally damaged coordination connectivity pathways involved in aSPPO can be reactivated to some extent; and compensation in adjacent areas, referring to individuals who perform right-handed hand action or facial action training will have significantly improved verbal motor output.a, Shizheng LibXiaoxue Zhanga School of Management Science and Engineering, Anhui University of Finance and Economics, Bengbu 233030, China, b School of Finance, Anhui University of Finance and Economics, Bengbu 233030, China.Background: Despite the multitude of studies exploring the causes of mental health problems among college students in China, the impact of academic performance on mental health has not been adequately investigated. Purpose: Analyzing the relationship between student self-evaluation comprehensive academic performance score, as well as their scores on 7 different sub-dimensions of academic performance, and the mental health status of college students.Subjects and Methods: A 41-item scale was developed to evaluate participants\u2019 academic performance. 10 items from the PSS-14 were used to measure the mental health status of participants. Descriptive statistics were initially employed to analyze the distribution and numerical characteristics of academic performance and perceived stress among the participants. Seven logistic regression models were constructed to investigate the predictive effect of different dimensions of academic performance on the mental health.Results: Online teaching prompted by the COVID-19 pandemic did not yield a significant impact on the mental health of the respondents. Gender did not emerge as a predictive factor for mental health status. Stress related to academic performance is not limited to students who struggle with their studies, as academic achievers may face higher risks. Academic performance scores obtained through the self-evaluation scale demonstrated better predictive power for mental health status than traditional GPA scores.Conclusions: The threshold for safeguarding the mental health of college students must be shifted to an earlier stage of education. It is imperative for China to pursue a gradual and sequenced approach to the implementation of mental health education in primary, secondary, and tertiary schools, with a focus on enhancing the professionalism and expertise of mental health education practitioners.This work is supported by Anhui University of Finance and Economics\u2019 Teaching Research Project (acjyzd2020004).a, Weiqing Zhaoa, Ye Liub, Yaozhou Wanga, Caiyun Xionga, Hao ZhouaLinyin Luoa Department of Pediatrics, Guizhou Provincial People\u2019s Hospital, Guiyang, 550002, China, b Department of Otolaryngology, Guizhou Provincial People\u2019s Hospital, Guiyang, 550002, China.LL and WZ contributed equally to this research.Background: This study examined changes in \u03b3-aminobutyric acid type A (GABAA) \u03b11 (GABAA\u03b11) and \u03b12 (GABAA\u03b12) receptor expression in autism model rodents and children with autism spectrum disorders (ASD) with the aim of providing insights about causes and treatment of autism.Subjects and Methods: Neuronal expression of GABAA\u03b11 and GABAA\u03b12 in the frontal cortex of control rats and gestational valproic acid (VPA)-induced ASD rats was measured by immunohistochemistry (IHC), western blot, and real-time quantitative PCR (RT-qPCR). Serum GABAA\u03b11 and GABAA\u03b12 expression in 37 autistic children and 32 healthy children were determined by enzyme-linked immunosorbent assay (ELISA).Results: Immunohistochemical staining showed that the VPA-induced ASD rats had significantly higher mean GABAA \u03b11 and GABAA\u03b12 expression than controls. Western blot detection showed that the relative grayscale values of GABAA\u03b11 and GABAA\u03b12 protein were slightly higher in the VPA group than in controls, although the differences were not statistically significant. The VPA group also had higher GABAA\u03b11 (P>0.05) and GABAA\u03b12 (P<0.05) mRNA expression in the frontal cortex compared to controls. Similar to the findings in rodent models, autistic children had higher serum GABAA\u03b11 and GABAA\u03b12 levels than controls.Conclusions: Abnormal expression of GABAA receptor subunits may contribute to autism pathogenesis.a,b, Xiaodan Bia,b, Xingqiang Huanga,b, Xu Tanga,b, Jinpeng Yanga,b, Tingting Zhaoa,bZhenrun Zhana Heping Hospital Affiliated to Changzhi Medical College, Changzhi, Shanxi 046000, China, b Changzhi Medical College, Changzhi, Shanxi 046000, ChinaBackground: Atherosclerosis, an immunoinflammatory disease caused by lipids, is a significant factor in coronary heart disease and stroke. Researchers worldwide are working to develop more effective ways of diagnosing and treating it. This article introduces a machine-learning algorithm that screens biomarkers and performs pan-cancer analysis as a reference.Subjects and Methods: We first downloaded the GEO dataset containing information on atherosclerotic patients for differential gene screening and analyzed differential mRNAs using KEGG and GO enrichment analysis. Then, we combined WGCNA, protein interaction network analysis, and mechanistic learning algorithms to screen for core genes, perform basic experimental validation, and immuno-infiltration analysis. Finally, we used TCGA and GTEx databases for pan-carcinogenic analysis of differentially expressed genes.Results: After screening differentially expressed genes from the GSE28829 dataset, we performed WGCNA and obtained 122 key genes by combining module genes and differential expression genes. We used four machine learning algorithms to calculate the critical genes and obtain the junction of the results, which led us to identify four hub genes . Next, we built a diagnostic model and assessed its capabilities. The ROC curves of the four genes suggested their critical role in the development of atherosclerosis. We then performed gene correlation analysis, immune infiltration analysis, and RT-PCR verification of the four core genes and finally screened out TLR2 for pancarcinoma. Our analysis found that TLR2\u2019s expression in patients with various tumors differed from that in healthy individuals, and it was strongly associated with the prognosis of patients with diverse cancers.Conclusions: TLR2 may be a target for intervention in developing diseases such as atherosclerosis and tumors.This study was supported by the Shanxi Province Graduate Education Innovation Project (2022Y726/737), the Basic Research Program of Shanxi Province (202203021212010), and the Youth Start-up Fund of Heping Hospital affiliated to Changzhi Medical College (HPYJ202225).a, Zhong Lib, Weibai LiucYongcai Zhanga School of Law and Business, Shaoyang University, Shaoyang 422000, China, b School of Business Administration, Hunan University of Finance and Economics, Changsha 410205, China, c School of Economics and Management, Hunan University of Science and Technology, Yongzhou 425199, China.Background: Food satisfaction can solve the problem of hunger, alleviate social anxiety and improve people\u2019s mental health. Food is an important source of food, Food security is the most important ballast for economic development and social stability. Therefore, the social status of food is decisive and its yield and quality is particularly important. Food security lies not only in output growth, structural adjustment and optimization, but more importantly in further improvement of grain productivity and alleviate social anxiety.Methods: Fuzzy logic theory, super-efficiency DEA and Bootstrap DEA methods are used to measure the grain productivity of China from 1978 to 2018. Fuzzy logic adopts \u201cFuzzy ToolkitUoN\u201d to make a fuzzy logic control, with its implicit boundaries of the qualitative knowledge and experience, the aid of concept of subordinate degree function, fuzzy set and relation, the fuzzy logic can simulate the human brain implementation of rule-based reasoning, deal with the uncertainties created by logic deficiency of \u201claw of excluded middle. The super-efficiency DEA model includes several models such as CCR, BCC and SBM, which is to make the same type of unit evaluation based on the decision making unit of \u201cinput\u201d and \u201coutput\u201d data. Bootstrap-DEA method is to introduce Bootstrap into DEA model. Bootstrap sample data are constructed repeatedly through the method.Results: The above data indicate that the traditional DEA method has defects, and more accurate super efficiency DEA and Bootstrap-DEA are needed to calculate the efficiency. Show that the grain yield efficiency is closely related to national policies and social development. China\u2019s grain productivity is relatively stable on the whole, but the return to scale fluctuates greatly, and the return to scale even decreased for 13 consecutive years. Therefore, how to improve the production of food and its productivity in scientific ways to alleviate social anxiety. Since 2013, the comprehensive efficiency has been on a steady rise, and the efficiency value gradually increased from 0.8370 to 1. In addition, its technical efficiency has been stable with an efficiency of 1 for four consecutive years since 2015, indicating that technological progress has promoted the improvement of comprehensive efficiency. At the same time, the scale efficiency value is also above 0.9, and the comprehensive effect of technological progress and scale efficiency got a higher comprehensive efficiency value, improve people\u2019s mental health.Conclusions: To ensure the sustainable development and food security of China\u2019s grain industry and alleviate social anxiety, it is necessary to strictly observe the minimized reserve of cultivated land, strengthen the efforts for the protection of cultivated land, establish and improve policies and incentive mechanisms for the introduction of agricultural scientific and technological personnel, strengthen efforts to make grain more market-oriented, and promote the integrated development of the grain industry with the secondary and tertiary industries. The efficiency of food production will be improved and when society is active, improve people\u2019s mental health, maintain family and social security.Research and Planning Fund for Humanities and Social Sciences of the Ministry of Education of China (22YJA790038);Projects of Natural Science Foundation of Hunan Province, China ; Project of Education Department of Hunan Province, China .aMingzhou Wanga Shanghai Urban Construction Vocational College, Shanghai, 200438, China.Background: Cultural festivals and events refer to a series of cultural activities or events held in cities, which have strong local, cultural, concentrated, and interesting characteristics. They can meet the psychological needs of citizens, enhance their sense of happiness, help alleviate social anxiety, and promote social stability and harmony. By analyzing and summarizing the key factors that can successfully host world-renowned cultural festivals, this paper proposes innovative measures to host the Yangtze River Cultural Festival.Subjects and Methods: Using literature review and data collection methods, we selected world-renowned cultural festivals such as the London Mayor\u2019s Thames Riverside Festival, Seoul\u2019s \u201cHan River Celebration\u201d, and Dalian International Beach Cultural Festival as research objects to analyze the positive effects of cultural festivals on citizens and tourists, such as joy of participation, stress relief, relaxation, and psychological pleasure, and discussed creativity, brand The role of participants and other factors in cultural festival activities.Results: Currently, with the rapid development of society, the pace of life has significantly accelerated, and with the rapid growth of the economy, there are also tremendous negative emotions such as stress, anxiety, and depression, which pose a great threat to people\u2019s psychological and physical health. By participating in cultural festivals and experiencing lively and interesting activities, citizens can gain more opportunities for interpersonal communication, increase individual social interaction, resist negative emotional influences, eliminate depression and anxiety, and promote mental health. A successful cultural festival event must rely on the city\u2019s existing resource endowment, use innovative thinking for top-level design, pay special attention to setting up distinctive and interesting activities, mobilize the participation of diverse subjects, especially young people, and actively meet their daily entertainment and mental health needs. In addition, it is necessary to create a market-oriented, government assisted operating mechanism.Conclusions: As one of the cultural supply products in cities, cultural festivals and events have a positive impact on enriching citizens\u2019 daily cultural life and promoting their mental health. Research has shown that participating in cultural events can help people maintain good interpersonal relationships and self understanding, maintain a positive mental state, and effectively reduce the incidence of mental illness. Cities along the Yangtze River have rich resources to carry out Yangtze River cultural festivals. By learning from the successful experience of world-renowned cultural festivals and holding colorful Yangtze River cultural festivals, it is possible to explore a new path for urban cultural supply.a,b, Xiaodong Zhenga,c, Miao Wanga, Fan ZhangaYongping Lia Faculty of Humanities and Arts, Macau University of Science and Technology, Macau 999078, China, b Ningbo University of Finance and Economics, Ningbo, Zhejiang 315175, China, c School of Computer and Information Engineering, Nantong Institute of Technology, Nantong, Jiangsu 226002, China.Background: Under the background of consumption era, more and more tourist areas begin to create unique cultural symbols as an important basis for their market attraction and brand effect. However, in the past few years, influenced by COVID-19, people are generally anxious and have no strong desire to travel, which leads to a sharp drop in tourist flow in scenic spots, a continuous downturn in tourism consumption, and a huge impact on tourism. With the gradual disappearance of the epidemic, the global tourism industry has regained its confidence and gained great opportunities. How to accurately grasp and construct cultural symbols, so as to alleviate tourists\u2019 anxiety and enhance tourists\u2019 willingness to travel, has become an important proposition to be solved urgently in every tourist area.Subjects and Methods: Taking Putuo Mountain Tourist Area in Zhoushan City, Zhejiang Province as the research object, this paper discusses the relationship between cultural symbol cognition, tourism psychology and tourism willingness, aiming at clarifying the difficulties faced by Putuo Mountain Tourist Area, helping to establish and strengthen its unique cultural symbols, thus effectively improving the popularity and passenger flow of the tourist area. Firstly, based on the theory of symbolic interaction and symbolic consumption, the corresponding question hypothesis and questionnaire are put forward. Secondly, the questionnaire survey was carried out through the network platform, and the questionnaire results were processed and analyzed by SPSS software. Finally, the corresponding results are obtained by regression analysis to verify the hypothesis.Results: A total of 1000 questionnaires were distributed and 833 questionnaires were collected. After eliminating 172 invalid questionnaires, 661 valid questionnaires were obtained. Using SPSS software to process and analyze the questionnaire data, the results show that tourists\u2019 cognition of Putuo Mountain cultural symbol is positively correlated with their willingness to travel, and the degree of tourists\u2019 psychological anxiety is also positively correlated with their willingness to travel. In addition, the analysis results show that personal education level, personal age, personal income level, image perception of tourist destination and hardware facilities are also important factors affecting tourism willingness.Conclusions: Zhoushan is the main maritime gateway for China to open to the outside world, and it is the only place for Chinese and foreign ships to sail from south to north. There are unique mountain and sea landscapes and island fishing customs here, and tourism has become one of the local pillar industries. As an important scenic spot in Zhoushan, Putuo Mountain attracts a large number of tourists every year with its beautiful scenery and unique cultural heritage. In the future, Putuo Mountain must vigorously publicize its unique cultural symbols, enhance its cultural heritage and speed up the construction of tourism infrastructure to maintain its sustainable attraction as a tourist destination.This paper is supported by 2021 Nantong Science and Technology Plan Project (JCZ21074), 2020 Jiangsu University Philosophy and Social Science Research Project (2020SJA1612), Young and Middle-Aged Key Teachers Training (Scientific Research) Project of Nantong Institute of Technology (ZQNGGJS202120), Key Scientific Research Project of Zhejiang Provincial Department of Culture and Tourism (2021KYZ006), Key Project of Ningbo Education Science Planning (2021YZD019).a,b, Yongtian Wub, Zhiheng Chenc, Xuekai WeibJianping Liua College of Civil and Environmental Engineering, Hunan University of Science and Engineering, Yongzhou, Hunan, 425199, China, b Bama Hetai Longevity Industry Co., Ltd., Bama, Guangxi, 547500, China, c Department of Health Management, Xiangya Third Hospital, Central South University, Changsha, Hunan 425099, China.Background: The high incidence of hyperuricemia has become a major medical and social problem affecting the health of Chinese residents. The existing medical system has not yet explored the formation mechanism of hyperuricemia, resulting in little effect on the prevention and treatment of hyperuricemia.Subjects and Methods: From the perspective of nutritional medicine, the development and changes of nutrient intake and dietary preferences of Chinese residents in the past three decades have been analyzed in depth by using the time series analysis method, and the formation process and mechanism of hyperuricemia have been systematically studied by using the whole-cycle theory.Results: The research shows that excessive uric acid production and too little uric acid excretion are the two causes of high incidence of hyperuricemia. The excessive production of uric acid is caused by the preference for high-purine food, the structural nutrient intake imbalance caused by the overall insufficient intake, the excess intake of some nutrients and the uneven intake of nutrients of long-term nutrients, and the metabolic abnormalities of human related enzymes. Too little uric acid excretion is caused by the structural imbalance of long-term nutrient intake, which is the main cause of hyperuricemia.Conclusions: The basic mechanism of hyperuricemia is the excessive re-absorption of kidney caused by the long-term imbalance of nutrients intake, especially the insufficient intake of water nutrients. We can effectively prevent and treat hyperuricemia by controlling the intake of high-purine exogenous foods, balanced intake of daily nutrients, taking disease-based strategies, strengthening daily independent health management and other measures. The research provides a new theoretical perspective and specific implementation methods for the prevention and treatment of hyperuricemia in China, which has great theoretical value and practical significance.This work was supported by a project grant from Natural Science Foundation of Hunan Province (Grant No.2019JJ50915) and Hunan University of Science and Technology Applied Characteristic Discipline Construction Project (Grant No.18TSXK-001).a, Youyou Zhanga, Yuehan QiaoaHuansong Yanga Hangzhou Normal University, Hangzhou City, Zhejiang Province 310000, China.Background: According to the 2019 Chinese Women\u2019s Confidence Report, 40 percent of Chinese women underestimate themselves. In other words, two out of every five Chinese women are not confident. A survey of 2,000 women by a UK institute found that 42 percent of women never give themselves a good compliment and criticize themselves at least eight times a day. This paper takes the method of psychological mining and performance of the hero of character documentary as the research content, explores the influence and contribution of streaming media anchor, a new profession, on the development of female mental health, and strives to find out a set of methods of psychological mining and performance of documentary characters.Methods: Based on psychological principles such as threshold effect, seesaw law, congruence effect, external behavior and manner of characters reflecting internal psychology, and research methods, this paper explores the psychological mining methods of film and television character documentaries, and explores the positive influence of the rise of \u201ca female anchor who sells goods through live streaming\u201d on women\u2019s mental health according to specific character interviews and surveys. The research on the psychology of the protagonist in the character documentary of \u201ca female anchor who sells goods through live streaming\u201d can provide experience and reference for the creation of character documentary in the future, so as to better shape the character image in the documentary creation.Results: The research shows that: 1. In professional documentaries, the use of audio-visual language can excavate the psychological changes of characters to a certain extent. For example, the use of long lens and depth of field lens can capture and amplify the psychological and emotional changes of characters.2.the color tone of the picture, simultaneous sound processing and music sound can play a key role in the portrayal of the character image and character psychology.3. The rise of \u201ca female anchor who sells goods through live streaming\u201d has greatly enhanced women\u2019s self-confidence and has a positive impact on women\u2019s mental health.4. As women have found broader career paths, their social status and recognition have also increased along with their economic level, which has a significant effect on their mental health.Conclusions: With the development of the e-commerce industry, a large number of women have found their own value in the work, thus blooming the charm and brilliance of different age groups. Influencing and inspiring others while maximizing their own worth is part of the magic that careers confer on women. Through the psychological mining and mental health research of the heroine of \u201ca female anchor who sells goods through live streaming\u201d, the author hopes that in the future career development and career planning, there will be more emerging industries to help women realize their self-worth.This research was supported by Fund program: Zhejiang Province digital cultural and creative Industry Production and education integration engineering base project (Zhejiang development reform society [2020] No.319)a, Li LibHongqi Zhoua Xianda College of Economics and Humanities, Shanghai International Studies University, Shanghai 200000, China, b Hunan University of Technology, Zhuzhou, Hunan 412000, China.Background: This study focuses on the behavioral and psychological needs of users and advocates the use of universal design concepts to improve the design of open space facilities in country parks, so as to better reflect the \u201cpeople-oriented\u201d purpose of design and meet the needs of users for respect, comfort, equality and care. The research provides reference for the design of public space facilities.Subjects and Methods: Firstly, through literature research method, the basic theories related to the study were summarized. Secondly, through on-site investigation, the current status of recreational facilities was understood, and the needs of users\u2019 physiological and psychological fairness, respect, safety and other characteristics were understood. Finally, through investigation and analysis, strategies for the universal design of recreational facilities in the countryside park were proposed.Results: According to the characteristics of country parks, the physical and psychological needs of users, the design of country park recreation facilities should follow the principles of fairness, systemization, safety, comfort and aesthetics, and embody the \u201cpeople-oriented\u201d design purpose, so that urban recreation facilities can better meet the needs of everyone.Conclusions: Recreational facilities are an important part of the recreational space in the countryside park, and their design should fully respect users\u2019 behaviors and psychological needs. The design should aim to provide equal, safe, and comfortable universal functions for as many users as possible, effectively reducing conflicts between environmental facilities and individual characteristics. This approach can better embody social care and equity.a, Yan LuaYabing Shana The Third Affiliated Hospital of Zhejiang Chinese Medicine University, Hangzhou, China.Background: We aim to develop a preoperative nomogram to evaluate the risk of death within a year of the operation in patients with resectable hepatocellular carcinoma.Subjects and Methods: Retrospective study of 490 hepatocellular carcinoma patients who were treated with hepatectomy. Multiple logistic regression analysis was performed to identify factors associated with early death in these patients. A nomogram was constructed based on the independent risk factors, and predictive accuracy of nomogram was valued.Results: Tumor size, portal vein tumor thrombus, fibrinogen to albumin ratio and geriatric nutritional risk index were found to be independent predictors of death at 1 year after surgery in resectable hepatocellular carcinoma patients and were finally entered into the nomogram. The calibration curves for the possibility of one year mortality showed optimal agreement between nomogram prediction and actual observation. The concordance index and the area under curve of receiver-operating characteristic showed that the nomogram in current study was superior to the Barcelona Clinic Liver Cancer classi\ufb01cation, Child-Pugh score, and Okuda stage in predicting early death of hepatocellular carcinoma patients with sugery.Conclusions: Our nomogram got a better accuracy in predicting mortality within a year after operation in patients with hepatocellular carcinoma.The authors disclose the receipt of financial support for the research, authorship, and/or publication of this article from the Planned project of Zhejiang Administration of Traditional Chinese Medicine approved by Zhejiang Provincial Health Commission (2011ZB059).a, Wenhui Zhanga, Jin Xua, Yiwen QiaZhenfeng Xiaoa Tianjin University, Tianjin 300350, China.Background: Flannery O\u2019Connor is a representative writer of postmodernism in the American Southern literary genre. She lived at a time when the American South was in the midst of intense turmoil, with the rise of the feminist movement, the rapid expansion of the capitalist economy, increasing social conflicts, and serious distortions in human relationships and the inner spirit of man. With her own unique life experience and keen insight into the darkness of human nature, O\u2019Connor was deeply influenced by Jung and consciously used the psychological perspective in her creation to penetrate the hidden inner world of the characters and present their true spiritual state, shaping a group of characters who abandoned their faith and had deformed personalities. The externalized expression of individual thoughts and mental activities is a direct mapping of character. In modern society, the reason why human beings live in an orderly and harmonious society lies in the regulation of law and ethics, while in the American South at the early stage of development and even in the period of seclusion, the root of the stability of social relations lies in the internal control of individuals, i.e., self-control, and psychological health and personality perfection are the basic conditions for the existence of self-control. This paper analyzes the O\u2019Connor series of novels from a psychological perspective. The purpose of this article is to study the results of the influence of psychological and external factors on the development of individuals and society.Subjects and Methods: Psychological analysis is not only a method of literary criticism, but also a way and perspective to see the world. Based on Jung\u2019s personality theory, this paper takes five short stories of O\u2019Connor: A Good Man is Hard to Find, Good Country Man, Greenleaf, and To Save a Man is to Save Himself as the objects of textual research, aiming to analyze the characters in O\u2019Connor\u2019s novels from a psychological perspective through a close reading of the text, with the intention of studying the influence of psychological factors and external factors on personal development and even social. O\u2019Connor draws a rich and diverse portrait of a monstrous group of characters in his short stories. In the development of the characters\u2019 personalities, the external personality masks play a key role. Through the external personality masks, the distorted life caused by the unbalanced mask and shadow of the main character is analyzed, thus revealing the indifference and alienation between people in a sick society.Results: Jung\u2019s theory of analytical psychology explains the madness hidden in the depths of the collective unconscious and reveals the complexity and universality of human psychological contradictions. The purpose of this study is to examine the influence of psychological factors and external factors on individual development and even on society. From the outside to the inside, the potential implications are explored to reveal the rich connotation and great tension of the characters in O\u2019Connor\u2019s novel under Jung\u2019s archetypal theory. O\u2019Connor\u2019s unique artistic style, her use of dynamic language, the expression of the grotesque and death, gives the novel a different kind of aesthetic interest. At the same time, the alienated society and the radical changes of the times make us see the goodness, evil, beauty and ugliness of human nature through the archetypal characters, and understand the fate of the characters, while more than anything else, it arouses our concern for life, our desire for the sublime, and our persistent pursuit of faith.Conclusions: In human history, society is often in a state of constant change, and with it, the transformation of human psychology, in other words, the course of human psychological development is closely related to the continuous development of society. In other words, the course of human psychological development is closely related to the continuous development and change of society, which is a huge collective of individuals with different personalities and psychological states. The society is a huge collective of individuals with different personalities and psychological states, and being in the collective, the universal or majority will is regarded as the unified goal and premise of development in the society. The intersection of psychology and literature is adapted to the needs of the times. Understanding a work is not only limited to knowing people, but also based on understanding the psychology of the writer, in order to better enter into the main character of the work. O\u2019Connor was deeply influenced by Jung, and looking at O\u2019Connor from the perspective of Jungian analytical psychology undoubtedly opens a new door for us to know O\u2019Connor and her novels.This work is supported in part by the Tianjin Philosophy and Social Sciences Research Program Funding Project under Grant TJWW21-006.a, Zhenzhao Wanga, Jing SuaWei Liua School of Mathematics and Computer Science, Guangdong Ocean University, Zhanjiang, Guangdong, China.Background: As of September 17, 2022, the World Health Organization has reported 59147 laboratory confirmed cases of monkeypox virus and 489 possible cases, including 22 deaths. The rampant spread of the monkeypox virus poses a grave threat to the lives and well-being of people worldwide. In order to reduce the large-scale spread of monkeypox in the world and reduce the impact of monkeypox on the public health system and international trade economy, it is essential to timely warn monkeypox through artificial intelligence.Subjects and Methods: We integrate 131 days of monkeypox infection data into the Susceptible- Exposed-Infection-Removed (SEIR) model and the Long Short Term memory (LSTM) model to obtain the epidemic curve. We also propose a four-tier architecture system that can visualize data and predict epidemic situation. The system submits the predicted data to the module within the corresponding system to form a clear and concise visual page, which is displayed on the IOT device.Results: We compare the prediction performance of SEIR and LSTM models for monkeypox virus, and found that LSTM neural network performs well in the prediction of monkeypox epidemic. The LSTM model used by the ten countries most affected by the epidemic has good fitting results . We predict the United States, Spain, Brazil, France, the United Kingdom, Germany, Peru, Canada, Colombia and the Netherlands, the top 10 countries in the list of infections. The goodness of fit R2 of several countries exceeded 0.99 . According to the model, the threat of monkeypox virus will basically end in December 2022, while the United States will end early around November 19, 2022 (in the LSTM model).Conclusions: This paper proposes a monkeypox virus early warning and visualization system based on LSTM neural network. The results show that it is feasible to use LSTM neural network to predict monkeypox epidemic. The visualization system can assist decision makers to make decisions and minimize the harm of infectious diseases, which is worthy of our promotion.a, Jun RenbLiuliu Shenga Taizhou Vocational and Technical College, Zhejiang 318000, China, b Zhejiang Normal University, Zhejiang 321000, China.Background: With the development of the network society and the wide spread of negative cases, some regions have been labeled as \u201cstigmatized\u201d, and regional stigma has been constantly constructed, thus forming a negative stereotype of the region. Negative stereotypes not only affect people\u2019s mental health, but also lead to the formation of bad coping styles, thereby affecting their social functions. To explore whether regional stereotypes exist in North and South China and what characteristics they have at the explicit and implicit levels. Subjects were randomly selected from the southern population and the northern population, with the Qinling-Huaihe Line as the boundary.Methods: In the process of research, it is necessary to pay special attention to the mental health of the subjects. The existence of regional stereotype may induce the psychological stress and anxiety of the subjects, thus affecting their emotional and behavioral performance. Therefore, it is necessary to give full informed consent in advance, introduce the main content and purpose of the experiment to the subjects, and inform them that they have the right to refuse to participate in the experiment without any punishment, gain or loss. It is necessary to pay full attention to and protect the mental health of the subjects in the process of research to ensure the scientific and reliability of the experimental results. In the whole process of the study, free response method and trait corresponding behavior were used to collect questionnaires to verify the existence of regional stereotypes. Then explicit regional stereotypes were measured by behavior rating questionnaire and implicit regional stereotypes were measured by stereotype explanatory bias questionnaire.Results: The measurement, collection and analysis of regional stereotypes can help people understand their own psychological conditions, including emotions, thinking, behavior and other aspects, and identify the factors causing negative regional stereotypes, so as to take corresponding actions, measures and interventions to improve their mental health. Among the findings: (1) At the explicit level, the subjects had negative regional stereotypes. The main effect of gender on negative stereotypes was not significant, while the main effect of household registration was significant. The interaction between gender and household registration was not significant. Both Southern and Northern subjects showed in-group preference and out-group rejection. (2) At the implicit level, the subjects had negative regional stereotypes. The main effects of gender and household registration were not significant, and the interaction was also not significant. Both Southern and Northern subjects showed more attributions and external attributions for inconsistent situations, and fewer attributions and internal attributions for consistent situations. (3) Presenting a larger amount of counter-stereotype information can reduce negative stereotypes of the target group more effectively. The research results support the Thin Slice Model. Presenting moderately abnormal counter-stereotype information can reduce negative stereotypes of the target group more effectively than presenting extremely abnormal counter-stereotype information, which is inconsistent with the content of the Transformation Model. Presenting moderately abnormal and a larger amount of counter-stereotype information is most effective in reducing negative regional stereotypes.Conclusions: At the explicit and implicit levels, regional stereotypes exist in both the north and south groups in China, showing the characteristics of in-group preference and out-group rejection. Medium anomaly and large amount of counter-stereotype information can suppress negative regional stereotypes more effectively. In the future, while applying the research results to promote social harmony and stability, it is necessary to pay attention to and protect the mental health, and adopt reasonable means and methods to reduce the negative emotional experience of the subjects such as anxiety and pressure. For example, researchers can use psychological intervention methods to stimulate positive emotions, guide cognitive reconstruction, relieve stress and anxiety during the experiment to help subjects adjust their mental state and mental health, and promote their positive emotions and physical and mental health. In addition, the results show that the medium anomaly and large amount of counter-stereotype information can effectively suppress the negative regional stereotype. Therefore, in real life, relevant departments and individuals can adopt some scientific and rational means and measures to encourage diversification and promote exchanges and cooperation, present moderate abnormal and large amount of positive information, reduce the negative impact of regional stereotypes, and promote the harmonious and stable development of society. In conclusion, while promoting the application of research results, we need to pay full attention to and protect the mental health of the participants, promote social stability and people\u2019s happiness, and achieve the goal of healthy, harmonious and sustainable development.This work was supported by the [2022 Professional Development Project for Domestic Visiting Scholars and Teachers in Colleges and Universities] under Grant [number: FX2022130], and by the Taizhou Aien Kangze Health Management Co., Ltd under Grant [number: HX2022237].a, Lu Zhanga, Miaoyu WangaXingxiang Xinga Shaoxing Central Blood Station, Shaoxing City 312000, China.Background: To understand the blood safety situation in the Shaoxing area and propose effective measures to prevent and control transfusion-related infectious diseases.Subjects and Methods: A retrospective analysis was conducted on the results of 8 transfusion-related infectious disease markers from 214,474 voluntary blood donation samples collected between 2019 and 2022. Five of these markers were compared with results from 190,264 voluntary blood donation samples collected between 2006 and 2010. An empirical study was also conducted on the blood testing strategy for voluntary blood donation.Results: The overall rate of unqualified test results for the 8 markers was 1.25%, with the unqualified rates for ALT, HBsAg, Anti-HCV, Anti-HIV, Anti-TP, HBV-DNA, HCV-RNA, and HIV-RNA being 0.42%, 0.17%, 0.15%, 0.08%, 0.18%, 0.19%, 0.01%, and 0.01%, respectively. These rates were at a relatively good level and showed a significant decrease compared to the rates from 2006 to 2010. The analysis of population characteristics showed that the unqualified rates were relatively higher for males, young people, farmers and workers, those with low education levels, and first-time donors. A total of 83.38% of infection markers were detected as unqualified in all ELISA tests (including Anti-TP). The total detection rates of HBV, HCV, and HIV infection in ELISA testing after the first and second tests were completed were 39.24%, 59.61%, 85.94%, 100%, 39.89%, and 99.44%, respectively. The proportion of ELISA first test results that match the ELISA second test results was 21.32%. There were 16 cases of Anti-HIV positive, accounting for 94.12% of WB confirmed cases. All Anti-TP cases were screened by ELISA, and the detection rate of the first test was 41.42%. NAT could detect 65.85% of HBV-infected individuals (40.39% of which were supplemented by screening based on ELISA), 3.75% of HCV-infected individuals , and 100% of confirmed HIV-infected individuals . The proportion of NAT and ELISA results that are consistent was 16.53%Conclusions: ELISA is the basic means to ensure blood safety and can detect most transfusion-related infectious disease markers. NAT can detect hidden, \u201cwindow period\u201d infected individuals, etc., reducing missed diagnoses and is an important means of blood screening. Under the current context of mature and routine NAT, it is still necessary to continue with ELISA testing twice. Blood testing is an important step in preventing the transmission of transfusion-related infectious diseases, but the role of recruiting blood volunteers and pre-blood collection screening cannot be ignored.We would like to express our gratitude to Director Sang Liyong and Vice Director Fu Liqiang of the Shaoxing Central Blood Station, as well as Director Chen Jinkun of the Shaoxing Center for Disease Control and Prevention, for their significant assistance, guidance, and support in this study.a, Mingxiu Yanga, Xinbin Xiaa, Zhaojie Wanga, Jiale Lia, Zheming TianaYing Dua School of Humanities and Management, Hunan University of Chinese Medicine, 300 Xueshi Road, Yuelu District, Changsha, Hunan Province, 410208, China.Background: To calculate and analyze the treatment costs of malignant tumors in Hunan Province in 2021, to investigate the depression and anxiety of tumor patients, so as to clarify the influence of patients\u2019 disease economic burden on their psychological anxiety, and to provide data support for the formulation and improvement of policies by the health department.Subjects and Methods: Referring to the \u201c2021 Hunan Province Health Finance Annual Report\u201d and \u201c2021 Hunan Province Health Statistics Summary\u201d, based on the \u201cSystem of Health Account 2011\u201d, we calculated and analyzed the disease types, beneficiaries, institutional distribution and financing status of malignant tumors diseases. Then we investigated the status quo of depression and anxiety in patients with malignant tumor and analyzed its dynamic changes.Results: In 2021, the total cost of malignant tumor treatment in Hunan Province was 440,596,800 yuan. The top five were malignant tumors of digestive organs (40.10%), malignant tumors of respiratory and intrathoracic organs (17.62%), and malignant tumors of breast (12.24%), female genital organ malignant tumors (9.88%) and lip, oral cavity and pharynx malignant tumors (6.87%). The 35 to 79-year-old age group has higher treatment costs. The costs are concentrated in general hospitals. Funding sources mainly come from government financing and family health expenditure. Among them, family health expenditure accounts for a relatively high proportion. The main influencing factors of malignant tumor hospitalization expenses are gender, length of stay, age, drug proportion, institution level and medical institution type.Conclusions: The disease burden of malignant tumors is relatively serious, and it has a positive effect on patients\u2019 anxiety. The primary medical and health institutions lack health resources. Because the household health expenditure accounted for a relatively high proportion, the economic burden of patients with malignant tumor Further aggravated. As a result, the patients\u2019 psychological anxiety was promoted. This directly influenced the quality of life and life expectancy of patients. Therefore, hierarchical diagnosis and treatment should be promoted reasonably, key diseases and populations should be focused, medical security policies should be improved. These initiatives are expected to reduce the economic burden of disease in patients with malignant tumors and their families\u2019, reduce their psychological anxiety and improve their quality of life and life expectancy.a, Fu Jiangb, Yanyan LiuaKunxiu Lua Guangdong University of Science & Technology, Guangdong, 523083, China, b Guangdong Peizheng College, Guangdong, 510830, ChinaObjective: Under the background of the new era, the turnover rate of the new generation of employees is high, which brings some problems to the enterprise development. From the employee\u2019s point of view, the intention to leave must also have its own internal psychological factors based on the antecedent influences. In view of this, this study takes new employees who have worked for less than three years after 90 years as the investigation object, focuses on the inner evolution process of employees\u2019 psychological feelings based on emotion regulation theory, and examines the research on the influence path of new generation new employees\u2019 perceived overqualification on turnover intention.Methods: Based on the theory of emotion regulation, the structural equation model was used to analyze the questionnaire of 357 new employees.Results: Perceived overqualification had a positive effect on turnover intention, the adjustment effect of working years on perceived overqualification and turnover intention was not significant.Conclusion: This study explores the direct influence of perceived overqualification on turnover intention and the influence factors of boundary. From the results of the study, perceived overqualification is one of the sources of stress for new employees, which in turn leads to negative emotional attitudes such as intention to leave, so companies need to be concerned about the psychological perceptions of new generation employees. In addition, enterprises should pay more attention to employees who have left their jobs and understand the reasons for leaving so as to alleviate the talent shortage caused by employees leaving.This research received partial financial support from Planning Office of Philosophy and Social Sciences of Guangdong Province, China (Grant Number: GD21CGL07); Guangdong Education Department, China (Grant Number: 2021ZDJS113); and Guangdong University of Science & Technology, China (Grant Number: GKY-2022 KYZDW-6).a,bDaogang Hea School of Leisure Sports and Tourism, Beijing Sport University, Beijing, China, b Chengdu Aeronautic Polytechnic, Chengdu, China.Background: Ultimate Frisbee is a popular recreational sport that combines physical exercise and recreation, and is emerging as a lifestyle choice for young people. Previous studies have shown that participating in leisure-time physical activity is linked to improved mental well-being, but few studies have investigated the relationship between motivation and mental health. This study aimed to segment and analyze the motivations for participating in Ultimate Frisbee and explore their association with mental health.Methods: A mixed research approach was used, based on self-determination theory, to investigate the drivers of participation in Frisbee sports. This included the Physical Activity and Leisure Participation Motivation Scale, observational data from interviews, and field surveys of disc participants (N=207), as well as focus group interviews with 18 participants. Data were analyzed to identify motivations for disc sports participation and their relationship with mental health, using the basic psychological needs theory.Results: The study identified six dimensions of motivations for disc sports participation, including entertainment, appearance, physical condition, others\u2019 expectations, competition/ego, and social interaction. These dimensions were related to the need for autonomy, competence, and relatedness, represented by health, recreation, and socialization. All motivations for participation were related to mental health, in addition to physical condition. Qualitative analysis identified three motivational factors, including gender equality, trend following, and additional skill level, which were related to the six dimensions. Psychological need satisfaction was primarily related to changes in autonomy and competence, as well as physical activity and mental health.Conclusions: The study identified six distinct motivations for participating in disc sports, including recreation, appearance, physical conditioning, expectations from others, competition/ego, and social interaction. These dimensions were further elaborated upon, and three additional motivational factors - gender equality, following trends, and skill level - were also identified. Motivators related to mental health, such as social interaction, recreational motivation, appearance, and expectations of others, were confirmed as significant factors for participating in Frisbee. Releasing psychological stress through participation in Frisbee, thus promoting mental health and enhancing well-being, is also an important motivation for people to participate in Frisbee. The following trends and gender equality as motivational factors of disc participants can firmly explain the widespread phenomenon of disc sports. It also provides a new perspective for assessing disc sports and their participation motivation from a sociological perspective. The resulting framework provides a comprehensive understanding of the various motivations that drive individuals to participate in disc sports.This study was supported by a grant of the Youth Project of National Social Science Foundation of China (to Xi CHEN) (21CTY007) and Sichuan Province Philosophy and Social Science Key Research Base Tianfu International Sports Events Research Center (YJY2020010).a,b, Shuyue Zhanga, Qiuju WangcWeiwei Huanga Faculty of Education, Guangxi Normal University, Guilin 541004, China, b School of Education, Zhaoqing University, Zhaoqing 526061, China, c Normal College, Eastern Liaoning University, Dandong 118003, China.Background: The healthy physical and mental growth of children is a major concern for parents, and childcare services for children under the age of 3 are an important form of early childhood education in China. High-quality childcare services are a basic guarantee for the healthy physical and mental growth of children and an important way to reduce parents\u2019 parenting anxiety. Therefore, in response to the current situation that child care services in China fail to meet parents\u2019 psychological needs, this study explores how to improve and optimize the quality of child care services for children under 3 years old from the perspective of enhancing parents\u2019 satisfaction and reducing parents\u2019 parenting anxietySubjects and Methods: In this study, on the basis of in-depth understanding of parents\u2019 psychological needs and the factors affecting the parenting anxiety of parents through interviews, the author compiled the Survey Scale of Parents\u2019 Satisfaction with Childcare Service Quality for Children Under the Age of 3.The Survey Scale of Parents\u2019 Satisfaction with Childcare Service Quality for Children Under the Age of 3 was used to survey parents in a province in East China, and 516 valid questionnaires were collected, and the data were analyzed using the Kano-IPA integrated model.Results: The analysis results showed that in order to reduce parents\u2019 anxiety and increase their willingness to send their children to childcare institutions, childcare institutions need to improve the five areas parents are most concerned about: \u201cChildcare service institution could provide safety inspection reports for their decoration materials, facilities, equipment, toys, etc.,\u201d, \u201cService personal of the childcare institution has first aid knowledge\u201d, \u201cSpecific sleeping area in the childcare institution\u201d, \u201cIndependent and safe outdoor space for activities in the childcare institution\u201d, and \u201cThe childcare institution has sufficiently large indoor activity space for children\u201d.Conclusions: Whether the materials used in the hardware facilities of childcare institutions for children under the age of 3 are safe or not is an issue that parents are very concerned with, and it is a basic attribute that affects the satisfaction of parents. The rationality and adequacy of the space setting of childcare institutions for children under 3 years old are factors parents attach importance to, and they are very easy to be perceived and evaluated by parents due to obvious comparability. The qualifications of the staff of the childcare institution constitute a factor that ensures the quality of the service. Only by paying close attention to the psychological needs of parents and improving the quality of childcare services, can childcare institutions institutions improve the satisfaction of parents, reduce the anxiety of parents in raising children, improve the willingness of parents of child-bearing age to have children, and alleviate the problem of population aging.This study was supported by a research grant from the National Natural Science Foundation of China (32060197).aJia Zhenga Xi\u2019an Polytechnic University, Xi\u2019an, Shaanxi 710048 China.Background: The psychological health of individuals is of paramount importance in the university context, where there is a constant demand for innovation and inheritance of both traditional culture and modern developments. This study proposes an innovative model of instruction for art majors, with a focus on the living transmission of intangible cultural heritage (ICH) as its defining characteristic. The study underscores the positive interaction between psychological health education and the inheritance of ICH in arts courses.Subjects and Methods: Four paired models for the \u201cliving transmission\u201d of ICH - namely, \u201ctheoretical teaching\u201d, \u201cpractical teaching\u201d, \u201ctalent cultivation base construction\u201d, and \u201cInternet teaching\u201d- that incorporate diverse cultural elements, enrich students\u2019 innovative thinking abilities and enhance their confidence, thereby providing potential avenues for independent entrepreneurship were proposed.Results: The study finds that learning ICH skills enriches the content of talent cultivation, improves an individual\u2019s manual skills, and has a positive effect on concerning issues such as stress relief and anxiety emotions discharge in modern society.Conclusions: This study highlights the necessity of integrating \u201cliving transmission\u201d elements of ICH into theoretical teaching, practical teaching, talent cultivation base construction, and internet teaching, and establishes the innovative teaching model of the \u201cliving transmission\u201d of ICH in art teaching.aYang Lia School of Public Finance and Taxation, Central University of Finance and Economics, Beijing, China.Background: Cross-border investment is a strategic choice for enterprises to test their comprehensive capabilities, which requires comprehensive measurement of their own financial capabilities, management levels, mental health of enterprises managers, market sensitivity and technology absorption capabilities. Based on the data of enterprises with overseas connections among China\u2019s A-share non-financial listed companies from 2009 to 2019, this paper attempts to construct a theoretical framework of technological innovation effect and transmission mechanism of cross-border investment of Chinese enterprises.Subjects and Methods: Based on the theory analysis, this research uses econometric methods, using enterprise-level microdata for data analysis and model regression. Meanwhile, in the process of analyzing the innovation spillover effect of cross-border investment of enterprises, this research adopts the two-stage least squares method and introduces instrumental variables for endogenous problem analysis.Results: The results show that cross-border investment by Chinese enterprises has a positive effect on technological innovation, and the leap in technological innovation capability is the most significant through the reverse technology spillover mechanism, followed by the optimization effect of resource allocation, and the transmission effect of financing constraint mitigation is not significant. In the process of cross-border investment, entrepreneurs show their desire and demand for technological innovation, market sensitivity and personality and psychological needs determine the effectiveness of cross-border investment innovation.Conclusions: Based on the research conclusions, this paper further puts forward policy suggestions to optimize government support to guide more enterprises to promote technological innovation through cross-border investment.a, Qiuchen ZhengaZhiyue Zoua Guangzhou Xinhua University, Guangzhou 510520, China.Background: To investigate whether the T3 sandhi of Mandarin in adults with cochlear implantation has the same computational mechanism as in hearing adults.Subjects and Methods: 6 cochlear-implanted adults and 6 hearing adults were tested for mandarin T3 sandhi. After collecting the corpus, the analysis is carried out in two ways: first, three teachers of speech correction for the hearing impairment score all the corpus subjectively, and compare the correct rate of pitch shift; second, extract the fundamental frequency through the Praat and convert it into a semitone value, make a contrast curve and observe.Results: From the perspective of the correct rate of tone-shifting in the two groups, the correct rate of the three types of words in the experimental group was much lower than that in the control group, the correct rate of true words was higher than that of the other two types of words, and the correct rate of false words was the lowest. From the analysis of the comparison curve, it was found that the curve of some subjects in the experimental group was close to that of the control group, but the fluctuation was small, and it could still be regarded as a correct tone change. The curves of other subjects were flat or fluctuated greatly. When combined with non-T3, the tail tuning was up, which has the meaning of the original tuning. Therefore, it shows that adults with cochlear implants have mastered a certain T3 tuning mechanism.Conclusions: The T3 sandhi of adults with cochlear implantation is far behind that of hearing adults. If they want to master the T3 sandhi more proficiently, they should first change the phonetic environment, and control the low point of the fundamental frequency by listening to the correct pronunciation. Hearing equipment is upgraded to the best or adjusted to expand the range of hearing thresholds.This work was supported by a project grant from Guangzhou Xinhua University (Grant No. 2019KYQN17).a,bXing Hea China West Normal University, College of Management, Nanchong, Sichuan 637002, China, b Sichuan Research and Study Travel Development Research Center, Nanchong, Sichuan 637002, China.Background: Since the reform and opening up for 40 years, my country\u2019s tourism industry has experienced a development process from a rise, rapid to a comprehensive, and has gradually become the most dynamic industry in the national economic system.Subjects and Methods: According to the tourism research and residents\u2019 mental health level situation in the past 40 years of my country\u2019s reform and opening up, the development of my country\u2019s modern tourism industry is divided into four development stages: commercialization, marketization, industrialization and socialization, and summarizes eight major turning points in the development of my country\u2019s modern tourism industry. This study chooses worry, perceived control and desire to stimulate to represent emotion, cognition and motivation respectively, and constructs an impact model of psychological factors on tourism risk prevention behavior. Taking actual tourists as the research object, it uses questionnaire method to conduct empirical tests to verify the deep influence mechanism of emotional factors, cognitive factors, motivation factors and risk prevention behavior, as well as the condition boundary of this mechanism channel.Results: It also sorts out, compares and reviews related literatures with qualitative and quantitative research methods, which usefully supplements the theoretical and methodological results of modern tourism research in my country since the reform and opening up, and also conducts research on the shortcomings of modern tourism development in my country Reflection. The study found that the impact mechanism of psychological factors on tourists\u2019 risk perception and prevention behavior is very complex. Worry will not directly affect risk prevention behavior, but will significantly affect prevention behavior through perceived risk; Perceived control directly and indirectly affects risk prevention behavior through perceived risk; Stimulating desire will have a significant negative impact on risk prevention behavior. This mechanism path is regulated by tourism experience. Compared with the first tourists, the revisiters\u2019 concerns, perceived control and perceived risk have a greater impact on risk prevention behavior. Tourism experience also regulates the intermediary role of perceived risk, while the intermediary role of perceived risk of first-time tourists is not significant; The intermediary effect of perceived risk of revisiters is significant.Conclusions: Therefore, more attention should be paid to the impact of psychological factors such as emotion, cognition and motivation on tourists\u2019 tourism risk perception and prevention behavior, and more accurate risk management strategies should be adopted for newcomers and revisiters. At the same time, it is proposed that the combination of modern information technology and \u201ctourism+\u201d industrial research, in the face of unknown public safety incidents, strengthening international cooperation, and building a world tourism community with a shared future will be the development trend of modern tourism in my country.This paper is Supported by the 2022 project of Sichuan Social Science Planning (No.: SC22C026), the Sichuan Ethnic Mountain Economic Development Research Center Project (No.: SDJJ202224), the Sichuan Ethnic Mountain Economic Development Research Center Project (No.: YX22-38), the Sichuan Provincial Key Research Base for Humanities and Social Sciences of Colleges and Universities, the 2022 project of Sichuan Research Travel Development Research Center (No.: YX22-38) The 2022 Project of Sichuan Tourism Development Research Center, a key research base of social sciences in Sichuan Province (No. LY22-40), the Innovation Team for Studying Travel Theory and Practice of West China Normal University (No. SCXTD2022-6), the 2021 Doctoral Initiation Project of West China Normal University (No. 21E002).a,b, Panzhen Zhaoc,d, Long ShiaJun Chena Youjiang Medical University for Nationalities, Baise, China, b Philippine Christian University Center for International Education, Manila, Philippines,1004, c Faculty of Educational Studies, Universiti Putra Malaysia, Selangor, Malaysia, d College of Foreign Languages, Baise University, Baise, China.Background: The first consultation at the grass-roots level is the key link to promote the construction of hierarchical diagnosis and treatment system, which is conducive to promoting the sinking of public health resources and increasing the accessibility of residents\u2019 medical services. Research on residents\u2019 choice behavior and its influencing factors, which has important practical significance for establishing the first diagnosis system at the grass-roots level and guiding residents to form good medical habits.Subjects and Methods: Based on the data of household follow-up survey in China in 2018, based on Andersen\u2019s behavior model as the theoretical analysis framework, the article analyzed the influence of predisposition factors, energy-promoting factors and demand factors on the behavior of Chinese residents\u2019 choice of medical facilities by using the method of disorder and multi-classification Logistic regression.Results: The study found that the grass-roots medical institution is the place with the highest possibility for Chinese residents to go to hospital when they are ill. Meanwhile, due to the unbalanced distribution of medical resources in China, there is a certain degree of difference in the medical level of different levels of medical institutions. There are obvious differences in the behavior of Chinese residents in choosing medical institutions for medical treatment when they are ill. Still, more than one third of respondents prefer to go to general hospitals when they are ill. The study also found that (1) in terms of propensity factors, gender, job nature, education level, social frequency and satisfaction with medical conditions had a significant impact on residents\u2019 choice behavior of medical places; (2) in terms of energy promoting factors, personal income, medical insurance participation, etc. had a significant impact on residents\u2019 choice behaviors of medical places; (3) in terms of demand factors, Health self-assessment and chronic disease have significant influence on residents\u2019 choice behaviors of medical places.Conclusions: The improvement of the system of first diagnosis at the grass-roots level shall take into full consideration of the influencing factors of Chinese residents\u2019 choice of medical facilities, guide the residents to choose basic medical institutions for medical treatment through improving the incentive mechanism of basic medical insurance, and encourage residents to cultivate the reasonable habit of first-time diagnosis and two-way referral system. so as to promote the optimal allocation of medical resources.This study was supported by the Project of the Planning Project of Guangxi Province Philosophy and Social Science (2021CGL002), National Natural Science Foundation of China (72164036), National Natural Science Foundation of Guangxi Province (2019JJA180060).aHuizhen Xua Fair Friend Institute of Intelligent Manufacturing, Hangzhou Vocational& Technical College, Zhejiang, ChinaBackground: With the continuous development of the times and the deepening reform of university education, the engineering education model is also changing, which presents new challenges and opportunities for the cultivation of design talents. The transformation and upgrading of enterprises have intensified the challenges of design talent cultivation, and how to effectively carry out design education and cultivate innovative design talents with complex technical skills has put design teachers under increasing pressure. However, these pressures may lead to psychological problems such as anxiety and emotional disorders among teachers, which will affect students\u2019 learning outcomes and teachers\u2019 teaching reforms if not addressed effectively and timely. The purpose of this study is to explore the current situation of talent cultivation in design disciplines and the reform practice of design teaching from the perspective of psychological health.Methods: This study adopts a problem-oriented approach, introduces the concept of health psychology and TRIZ theory, and uses the cause-and-effect analysis method to conduct an in-depth analysis of the pain and difficulties in design teaching to find the deep-seated reasons for the difficulty in implementing teaching reform. Combining the deep-level reasons, the expectation model of physical-field is constructed, the design teaching reform strategy with psychological health as the starting point is proposed, and the design teaching reform scheme of creative ideas materialization is practically applied to solve the problems of difficult creative innovation, difficult implementation and difficult technical realization in design teaching, and the feasibility of its scheme is verified.Results: For design majors, a four-stage \u201cTRIZ+ Core Curriculum\u201d training system was designed, a \u201cTRIZ+ Design\u201d resource case platform of interest to students was created, a \u201cstudio-style\u201d teaching environment and an interdisciplinary teaching team were formed, and precise assessment and evaluation were designed. The five-step project-driven teaching method is implemented, including \u201cinitiation, teaching and learning, practice and enlightenment, evaluation, and expansion\u201d, which effectively solves the problems in design teaching, transforms virtual concepts into physical objects, enables students to understand design ideas more intuitively, and cultivates students\u2019 understanding of design. Students and teachers have achieved fruitful teaching results, and the satisfaction of enterprises has been improved, and the effect of teaching reform has been significantly improved.Conclusion: From the perspective of psychological health, the teaching reform strategy of creative ideas materialization can transform the pressure of teachers and students into motivation and relieve the psychological pressure of teachers and students in design disciplines. This teaching reform strategy can not only help teachers improve their teaching ability, but also help students enhance their innovation and engineering realization ability, and promote the rapid development of design education. Through the successful practice of this study, teachers and students will get a broader space to play and a more genuine sense of achievement.a, Fan Zhangb, Siti Rohaida Binti Mohamed ZainalcJiaqi Zhanga School of Management, Universiti Sains Malaysia (USM), GelugorPulau Penang, Malaysia, b School of Innovation and Entrepreneurship, Guangdong Polytechnic Normal University (GPNU), Guangzhou, China, c School of Management, Universiti Sains Malaysia (USM), GelugorPulau Penang, Malaysia.Background: Based on the perspective of competitive value architecture, this paper discusses the impact mechanism of strategy on organizational effectiveness of enterprises, and proposes corresponding application strategies.Subjects and Methods: In the increasingly competitive environment, enterprise employees are facing increasing psychological pressure. Enterprise employees are prone to problems such as low mood, physical and mental exhaustion, lack of work enthusiasm, decreased awareness of corporate culture, and lack of innovative spirit. Therefore, this puts forward higher requirements for enterprise human resource management. From the perspective of competitive value architecture, this article discusses strategic human resources, competitive value architecture theory, and strategic human resource management models. It analyzes the impact mechanisms of different strategic human resource management models, such as win-win cooperation, open innovation, control and coordination, and performance evaluation models, on enterprise organizational effectiveness, reveals the role of strategic human resource management in enterprise organizational effectiveness, and propose corresponding application strategies.Results: The impact carriers of strategic human resources on organizational effectiveness include organizational culture and organizational commitment. In order to protect and enhance the mental health of employees, it is very valuable to pay attention to the psychological empowerment of employees. Employee mental health is the key to improving organizational effectiveness. Among them, organizational commitment also affects employees\u2019 psychological empowerment, which in turn affects their level of loyalty to the organization. Employees feel empowered when they feel influential and meaningful within the organization. Therefore, psychological empowerment is of great significance to both employees and organizations, such as improving employee motivation and engagement, which in turn affects organizational performance. Building on the concept of psychological empowerment, this paper finds that, under the win-win cooperation model, a scientific, reasonable, fair and impartial performance contribution evaluation system is used to improve employee compensation satisfaction, enhance employee evaluation fairness, and generate a sense of belonging to the enterprise, thereby promoting the achievement of organizational efficiency goals. Under the open innovation model, both professional quality and innovative creativity affect organizational effectiveness through organizational culture and organizational commitment, stimulate enterprise innovation and creativity, promote enterprise development and innovation, promote the integration of internal and external resources, build resource synergy, and improve organizational efficiency. The control and coordination model enhances organizational effectiveness through a fair, just, and coordinated organizational culture and standardized and institutionalized organizational commitment. The performance evaluation model adopts a quantitative evaluation method to directly evaluate the contribution of strategic human resources to the organizational effectiveness of enterprises, providing a basis for optimizing the structure of strategic human resources and improving the quality of strategic human resources.Conclusions: This study found that, strategic human resource management mainly affects organizational effectiveness through organizational culture and organizational commitment. It is undeniable that there is often a positive correlation between employees\u2019 perceptions of psychological empowerment and mental health. The significant impact of organizational commitment on psychological empowerment of employees will further affect organizational effectiveness by affecting factors such as employee loyalty and enthusiasm.a, Landong Xub, Sixiang Taoa, Jingtang HeaHongzhao Wanga Department of Physical Education, Huainan Normal University, Huainan 232038, China, b School of Physical Education, Changchun Guanghua University, Changchun 130033, China.Background: Fitness and health (FH) testing in universities in China involved several health related components, such as BMI, vital capacity, flexibility, speed, aerobic endurance, power and muscle strength by National Fitness and Health Standards of Students (NFHSS). These components with specific reference values are considered markers of physical and mental health, and has been shown to be positively associated with cognition, weight status, and academic performance. Evaluation physical condition is a matter of concern of in public physical education (P.E) not only for conforming prevalence of FH conditions but also for implementing strategy of effective teaching. Monitoring physical fitness indicators is therefore considerable importance for social medicine, health education and health management, but it requires specialized equipment. Consequently, FH is rarely measured at the population level in public P.E teaching due to time, budget, complicated procedures and logistic limitations. A single-index of physical fitness components is a simple and cost-effective method to estimate FH status, which is an alternative to integrated testing system. Therefore, the purpose of the observational study was to examine the validity of pull-ups\u2019 cut-off score screening FH status among physically excellent male college students from Northeast, China.Subjects and Methods: The study was based on NFHSS, which was performed in 3 dimensional conducts consisting of morphology, function and fitness. A total of 5669 male college students aged 18-21 years were selected from Changchun Guanghua University. All participants\u2019 FH status were categorized into trichotomy groups as excellent, sound and no-pass by NFHSS. The difference of FH were analyzed by one-way ANOVA with components of the dependent variable and FH status as the factor. Regression analyses indicated whether the pull ups was able to predict the FH status of male college students among physically excellent and sound. Receiver operating characteristic (ROC) curve was applied to evaluate pull ups cut-off score indicating FT status and to discriminate the prediction ability of male college students among physically excellent and sound.Results: Mutually adjusted analysis showed a significant association between FH status and performance of pull ups in male college students who are physically excellent and sound. The cut- offs of pull-ups assessed by the ROC curve can discriminate the FH status between excellent and sound.Conclusions: Pull-ups was significantly associated with FH status and contributed to the excellent/sound model\u2019s prediction for FH status among physically excellent and sound students. Single index of pull-ups could be a useful prediction tool to identify and monitor variation in FH status of male college students between physically excellent and sound.This work was supported by a project grant from Scientific Research Foundation of Education Department of Anhui Province of China (Grant No.SK2021A0560).a, Lan DingaYuchang Houa School of Foreign Languages, Henan University, Kaifeng 475001, China.Background: Under the current situation of the \u201cdouble reduction\u201d policy in China, formative assessment in EFL (English as a foreign language) classroom is receiving increasing attention. According to Positive Psychology, emotions have direct influence during language learning process. For achieving satisfactory result of formative assessment, the present paper aims to investigate the EFL teacher\u2019s emotions in formative assessment and put forward practical strategies and skills to better use teacher\u2019s positive emotions and reduce their negative emotions, such as anxieties, gloominess and self-doubt.Subjects and Methods: To study the current level of emotions of EFL teachers towards formative assessment, questionnaires and interviews were administered randomly to 20 EFL teachers from 4 major junior high schools in China. To study the influence of EFL teacher\u2019s positive emotions on the effect of formative assessment, an 18-week positive psychology-based professional development program was conducted with a series of methods for result analysis including interviews, class observations, discussions and exams. To make the above-mentioned two studies reasonable, logical and scientific, all the experiments in the present paper were tightly grounded on the relevant theories and models to positive psychology.There are two limitations in the present study. First, the number of participants is not large. Second, the professional development program does not last long enough. Despite these limitations, this is a new study showing the emotion factor of EFL teachers during the formative assessment, a more emphasized kind of assessment under the \u201cdouble reduction\u201d policy newly and currently implemented in China.Results: Study 1 of the present paper found that the current level of classroom emotions of Chinese Junior School EFL teachers is not satisfactorily high. Data collected from Study 2 of the present paper showed that the professional development program was greatly beneficial. All the 20 participants have demonstrated an increased level of empathy toward students, which in turn brings motivation, enjoyment and confidence to themselves.Conclusions: Chinese teachers in junior high school have already noticed the importance of classroom emotions and teachers\u2019 positive emotions can make students ease in mind and actively engage in class tasks. Moreover, teachers\u2019 positive emotions can enhance their feedback that moves students forward. In general, teachers\u2019 positive emotions can act as instructional resources for building a closer and friendlier relationship with students and boost their teaching of English eventually.As we are trying to improve English teaching effectiveness and coming across more difficulties under the \u201cdouble reduction\u201d policy, it would probably be a reliable solution to shift from the summative assessment to the formative assessment, from the learner to the teacher, and from the teaching and learning of knowledge to the classroom emotions.This study was supported by the Teacher\u2019s Development Research Fund of Henan University (Grant No.: YB-JFZX-2022-19) and the Education Reform Project for Postgraduate Program of Henan University (Grant No.: SYLAL202201) and the Undergraduate-oriented Project of Henan University Research Laboratories (Grant No: 20221701024).aJialin Chenga Zhuhai College of Science and Technology, Zhuhai 519041, China.Background: In the post-pandemic era, life education for university students has become particularly necessary and important, as the COVID-19 pandemic has not only caused huge losses to people\u2019s lives and property, but also had a significant impact on the knowledge production mode and talent cultivation methods of higher education. In this context, life education for university students has acquired a richer connotation and significance.Subjects and Methods: It should cover three aspects: life consciousness education, survival ability education, and life value sublimation education. To achieve this, it is necessary to further broaden the concept of life education, enrich its content, innovate its methods, build its platforms, and ensure the effectiveness of the education process and its components.Results: The serious problems of narrow educational concepts, knowledge-based educational contents, fixed educational methods, limited educational levels, and closed educational platforms in life education for university students have seriously affected the formation of their life consciousness, the improvement of survival ability, and the sublimation of life values. Apparently, focusing on the physical and mental health and life development of university students, strengthening life education for university students in the post-epidemic era is not only a timely choice to adapt to the external environment of higher education but also an active choice to implement the fundamental task of moral education and talent cultivation.Conclusions: Strengthening life education for university students can help them establish a correct view of life and practice a positive outlook on life.a, Zehui JiangaMing Wanga Zhuhai College of Science and Technology, Zhuhai, Guangdong 519041, China.Background: With the change of times, the rapid development of economy and society, medical and health undertakings and sports industry is undergoing a period of rapid development; The decline of physical health has gradually become the main public health problem faced by human beings, and people\u2019s pursuit and need for health has become a rigid need. The Outline of the Healthy China 2030 Plan has been issued, and the combination of physical medicine has quickly become a new model of health intervention, emphasizing the need to add more means of physical fitness to modern medical treatment and rehabilitation.Subjects and Methods: By looking up literature related to the combination of physical medicine and its model, traditional national sports on CNKI platform, and looking up books about sports promoting health in the library, data were collected for the writing of this paper. At present, we advocate the organic combination of sports and medicine as well as the health intervention of non-medical means, and aim to establish the promoting mechanism of health education in schools with a focus on colleges and universities, and analyze the differences in the implementation of national traditional physical education courses under the concept of combination of physical medicine. From the school, physical education teachers, families and students four aspects try to analyze the relevant influencing factors, and put forward countermeasures.Results: The combination of physical medicine is a long-term method to enhance physical fitness and immunity. Based on the construction of \u201cfirst-class undergraduate courses\u201d, this paper starts from three aspects: general education courses, professional education courses and practical education courses, establishes the educational concept of \u201cintegration of physical and medical\u201d, optimizes the construction of the content system of \u201cintegration of physical and medical\u201d ethnic traditional sports courses, and cultivates ethnic traditional sports guidance talents to ensure public health. It can also build up cultural confidence in colleges and universities and promote the inheritance and development of traditional national sports.Conclusions: The \u201cGuangdong-Hong Kong-Macao Greater Bay Area\u201d strategy has been put forward and implemented, and the exchanges and coordination in the economy, science and technology, education, culture and quality life circle of the \u201c9\u2005+\u20052\u201d urban agglomeration are constantly expanding. Traditional ethnic sports, as an important way of cultural exchange, play an important role in promoting the coordinated development of sports and industries in the Guangdong-Hong Kong-Macao Greater Bay Area. By means of literature research, field research, SWOT analysis and other methods, this paper analyzes the strengths, weaknesses, opportunities and threats of the coordinated development of ethnic traditional sports in colleges and universities in the Guangdong-Hong Kong-Macao Greater Bay Area. It is suggested to promote the coordinated and integrated development of traditional ethnic sports in higher education institutions in the Greater Bay Area by implementing national strategies and policies, building exchange platforms for higher education institutions, cultivating academic exchange talents, building ethnic sports events, and combining sports and medicine.This work was supported by 2021 Annual Education Science Planning Project \u201cResearch on the inheritance and development of traditional ethnic sports culture in universities in the Guangdong-Hong Kong-Macao Greater Bay Area\u201d (Project No.: 2021GXJK080) and \u201cThree Levels\u201d talent Construction Project of Zhuhai College of Science and Technology.aJingjing Caoa School of Culture and Media, Xi\u2019an Eurasia University, Xi\u2019an, Shaanxi, China.Background: With the continuous development of emerging digital media technology and the continuous expansion of the application scenarios of digital media technology in daily life, building a digital country has become a global consensus, and promoting the digital village strategy has become an inherent requirement and inevitable choice for building the network powerful nation,digital China and smart society. However, according to the survey Investigation and Analysis Report on Digital Literacy in Rural China under the Background of Rural Revitalization Strategy released by the Center for Informatization Study of the Chinese Academy of Social Sciences, the digital literacy gap between urban and rural residents is 37.5%. The digital literacy score of rural residents is significantly lower than that of other professional groups. Rural residents\u2019 digital identity anxiety began to emerge.Subjects and Methods: The psychological identity of digital identity and digital literacy of rural residents has a direct impact on the digital village, rural revitalization and digital China construction. How to improve the digital literacy of rural residents in the strategic perspective of comprehensively promoting rural revitalization has become an urgent problem to be solved. Therefore, based on the existing research, the author discusses the value connotation, current situation, existing problems and reasons of rural residents\u2019 digital literacy, and then puts forward a practical and feasible way to improve rural residents\u2019 digital literacy.Results: The author puts forward four feasible suggestions according to the problems and reasons of rural residents\u2019 digital literacy: solve the rural residents\u2019 digital gap based on the problem of using digital products, solve the idle problem of digital products based on the use demand of rural residents, provide training on digital literacy and cultivate digital village culture, introduce digital technology cultivation projects and enhance the participation of rural residents.Conclusions: Rural residents\u2019 psychological anxiety about digital identity comes from the application of digital identity in individual virtual practice in the digital era. Improving the digital literacy of rural residents has a direct impact on alleviating this problem. Improving the digital literacy of rural residents is a long-term and arduous task, which requires a large amount of human, material and financial resources.This research is under the scientific research project \u201cResearch on the promotion path of digital literacy of rural residents in Shaanxi Province from the perspective of Rural Revitalization\u201d, which is supported by the Shaanxi Provincial Education Department (Grant No. 22JK0133), and the project of the 14th Five-Year Plan \u201cResearch on the Practice of Mixed Teaching Mode for News and Communication Courses in the Digital Era\u201d, which is supported by Shaanxi Academy of Educational Sciences.aWenqu Xua School of business Minnan Normal University, Zhangzhou, Fujian 363000, China.Background: The healthy personality of college students is a kind of self-consciousness gradually built up by college students in their life experience with their lifestyle and life style. It is a comprehensive embodiment and important symbol of people\u2019s world outlook, psychological quality and moral cultivation, and it is the psychological basis for college students to accurately grasp themselves, find a social position suitable for their own development, and obtain respect and goodwill from others. College students are the mainstay of the country\u2019s future development and the most valuable human resources of the country. The research on the shaping of college students\u2019 healthy personality and guiding college students to establish healthy and optimistic psychological quality have important practical enlightenment for cultivating college students to become talents with all-round development of morality, intelligence and physique and realizing the prosperity of the country.Subjects and Methods: The subjects of this study are college students in a university in Fujian. The scale used in this study was the Big Five Personality Inventory simplified version (NEO-FFI). The Big Five personality trait model divides personality into five dimensions, including neuroticism, extraversion, openness, agreeableness and conscientiousness, which are measured by five sub-tests of 12 questions per dimension, with a total of 60 questions. The simplified Big Five Personality Inventory (NEO-FFI) is a personality measurement tool for Chinese college students. Its \u03b1 reliability coefficient is 0.77 for neuroticism, 0.78 for extraversion, 0.63 for openness, 0.72 for agreeableness, and 0.74 for conscientiousness, which has good reliability and validity. Stratified sampling was used in the questionnaire survey, and 309 valid questionnaires were collected. In terms of statistical processing, SPSS22.0 Chinese version was used for statisticalanalysis of the survey data, mainly using specific statistical analysis methods such as descriptive statistics, independent sample T test and variance test.Results: Through the analysis of the NEO-FFI questionnaire, the research found that: first, there is no significant difference in personality traits between different genders and different grades; Second, the personality traits of different majors, whether they are student leaders, future planning types and self-promotion types have significant differences in a certain dimension. Specifically, in terms of professional categories, the neuroticism of liberal arts is significantly higher than that of science; The conscientiousness and extraversion of student cadres are significantly higher than that of non-student cadres, while neuroticism is significantly lower than that of non-student cadres. In terms of future planning type, the extroversion and conscientiousness of students with clear goals were significantly higher than those with uncertain goals. In terms of self-improvement types, conscientiousness and extraversion were significantly higher in students with ideas and practices than in students with no ideas and practices, while neuroticism was significantly lower than in students with no ideas and practices.Conclusions: College students in the new era are the hope and future of the country. The healthy personality of college students is related to the prosperity and prosperity of the country. It is suggested that the theory and method of human resource management should be integrated into the whole process of cultivating healthy personality of college students. Recruitment and configuration, training and development, performance management, salary welfare management and labor relations management six modules as the research basis, on college students\u2019 healthy personality training targeted Suggestions, so as to cultivate good social adaptation ability and stable sense of self, and good quality, independent thinking, good ability to life positive and optimistic attitude, emotion regulation and interpersonal harmony friendly health, etc Excellent college students with personality characteristics will provide qualified builders and successors for realizing the prosperity of the country.This work was supported by a project grant from2020 Fujian Young and Middle aged Teacher Education Research Project (JAT200333) and 2019 General Project of Fujian Research Center for Socialism with Chinese Characteristics (2019ZTD19).a,c, Yun Lib, Shanxian LiaXuejun Wanga College of Sports Economics and Management, Guangxi University of Finance and Economics, Nanning, Guangxi 530001, China, b School of Big Data and Artificial Intelligence, Guangxi University of Finance and Economics, Nanning, Guangxi 530001, China, c College of Education, Jose Rizal University, Manila, Philippines.Background: To speed up high-quality economic development and further give play to the sports industry\u2019s role in promoting green development, expanding domestic demand and cultivating new economic driving force cannot be separated from the support of local policies. The introduction of local policies will promote economic development, expand employment, and alleviate pressure through internal emotional regulation to generate positive emotions such as joy and happiness.Subjects and Methods: Taking the sports industry development of Guangxi as an example, the sports industry-related policies issued by 14 cities since 2018 were studied, focusing on the correlation between the policy issuance of each city and the development of the sports industry. By constructing the PMC-E quantitative policy evaluation system, the quality index of Six Aspects of Emotional Regulation local policies promoting the development of sports industry is quantified from a multi-dimensional perspective, and the quality index of local sports industry policy development is measured according to the weight, and the effect of various local policies promoting the development of sports industry is tested.Results: Nanning, Liuzhou and Guilin had strong local policies. Good effect on emotional regulation, Urban sports industry policy is reasonable. Other cities are in the acceptable range, the city sports industry policy is generally applicable.Conclusions: The average structure level of sports industry policies in Guangxi is reasonable, which promotes the release of vitality of sports market, Good emotional regulation, generating positive emotions. The PMC-E value of sports industry promoted by urban policies is consistent with the overall objective data, and the optimization suggestions are put forward for improving the local policies to promote the development of sports industry in Guangxi.This work was supported by the 2022 Guangxi Philosophy and Social Science Planning Project: Research on Artificial Intelligence Empowering High-Quality Sports Development in Guangxi (22FTY019); funded by the 2022 Guangxi First-class Discipline Applied Economics (Sports Economics and Management) Project.a,b, Zhibing Zoua, Shiqi Liua, Ruhai Feia, Wang Zhanga, Licheng Qina, Jiaxiang Fana, Guosong Wua, Liwei Zhenga, Nianmao LicWenxing Tana School of Sports and Health Science, Xiangsihu College of Guangxi Minzu University, Nanning, 530008, China, b Graduate School, University of Baguio, Baguio City 2600, Philippines, c School of Sports and Health Science, Guangxi Minzu University, Nanning, 530006, China.Background: From the perspective of mental health, the identification of their own identity is also an important evaluation index. Students\u2019 recognition of their major affects their choice of future career and attitude towards future work, which is professional cognition from the level of consciousness. The employment of college students directly reflects the quality of talent training in colleges and universities, which is related to the selection and training of high-quality talents. Based on the perspective of psychological identity, Combined with the background of targeted employment, this paper analyzes various practical problems that affect the training of social sports guidance and management professionals.Subjects and Methods: Subjects and Methods: Based on a common perspective of mental health and professional identity. This paper takes the major of social sports guidance and management as the research object, and adopts the research methods of literature review, interview and logical analysis.Results: The research shows that there are some problems in the training process of applied talents in social sports guidance and management: the absence of courses and teachers, the lack of social sports industry experience of teachers; The professional boundary is not clear, and the characteristics of applied professional skills training are not significant; The separation of specialty and occupation makes it difficult to cultivate and design applied talents. The disconnection between the profession and the society and the failure to train professional talents according to the needs of the society. The fundamental goal of talent training in colleges and universities is to cultivate healthy professional talents for the society, and the health here should be a comprehensive health state including mental health and moral health. Psychological identity is the basis of students\u2019 identification of professional learning, recognition from the internal recognition of the professional, is also the basis of learning motivation, and has a close relationship with their academic achievement. Application-oriented talents should be cultivated in an educational environment conducive to students\u2019 psychological identity, which can help students have a deeper understanding of their major. This paper puts forward the construction of application-oriented courses based on professional requirements to realize the effective diversion of talents; puts forward practical skills training-oriented by professional characteristics to link vocational qualification certificates; puts forward social need-oriented service-oriented teaching practice to accurately meet employment needs; puts forward the cultivation of core competitiveness oriented by targeted employment to improve the reform and innovation ways of talent provision mechanism.Conclusions: The major of social sports guidance and management is an application-oriented talent trained for social sports service and a professional talent characterized by practical maintenance group. Considering the students\u2019 mental health and professional cognition, the formation of their own professional identity is a prerequisite for the establishment of long-term career development planning. Professional identity directly affects the learning attitude, motivation and performance of students majoring in physical education, as well as their career development direction. Based on students\u2019 psychological identification with the major of social sports guidance and management, a four-in-one application-oriented talent training system of \u201ctheoretical knowledge-sports skills-teaching ability-comprehensive literacy\u201d is constructed, and the exploration and practical experience of \u201chigh-grade, targeted and advanced\u201d talent reform are summarized in combination with the background of targeted employment.This work was supported by 2022 key project of Guangxi Higher Education Undergraduate Teaching Reform Project [number 2022JGZ187]; 2023 Guangxi Young and Middle-aged Teachers Basic Research Ability Improvement Project [number 2023KY1668]; 2023 Annual Project of the \u201c14th Five-Year Plan\u201d of Guangxi Education Science [number 2023A122].a, Jinsan Qib, Hui Wangc, Zhixiang GaodHui Lia School of Foreign Languages, Zhejiang University, Hangzhou 310058, China, b School of Foreign Languages, Anyang Normal University, Anyang 455000, China, c College of Humanities, Ningbo University of Finance & Economics, Ningbo, 315175, China, d School of Foreign Languages, Institute of Disaster Prevention, Sanhe 065201, China.Background: Non-literal language is a typical pragmatic expression, and the comprehension and production of non-literal language involve advanced cognitive activities. Children with autism spectrum disorder (ASD), however, are pervasively impaired in processing non-literal language. Therefore, non-literal language comprehension and production ability can be important means to investigate pragmatic competence in autistic children. Recently, with the shift of language pathology to pragmatics, non-literal language processing in autistic children has become a research hotspot in clinical pragmatics worldwide. This paper intends to systematically formulate the comprehension and production characteristics, and the developmental patterns of non-literal language in autistic children, and then to provide worthwhile insights for future clinical language research and intervention.Subjects and Methods: According to the Convention on the Rights of the Child, this paper concerns autistic children under the age of 18. This review paper first retrieves empirical studies in irony/metaphor/idiom/proverb/pun/metonymy in autistic children from the Web of Science in the past two decades. And literature is further selected by refining the titles and abstracts, examining the comprehension and production of non-literal language in autistic children, and then expanding the search via literature-tracking. Finally, 34 empirical research papers are chosen.Results: This paper summarizes that research in non-literal language comprehension and production in autistic children roughly follows three pathways, that is, the characteristics of acquisition and development, the cortical activation patterns, and the influencing factors. To be exact, compared with their typically developing counterparts, not only are autistic children developmentally delayed in comprehending and producing non-literal language, significant differences exist among autistic children, but also they exhibit unique neural activation patterns. Moreover, performances in autistic children are constrained by their structural language competence, general cognitive mechanisms and deficient capacity of online semantic integration, and the complexity or diversity of the experimental tasks. Even so, autistic children do possess some capabilities to comprehend and produce non-literal language and even exhibit creativity to some extent.Conclusions: Three research threads sorted out by this paper presents a comprehensive picture of research in comprehension and production of non-literal language in autistic children. Overall, typically impaired and delayed in comprehending and producing non-literal language, autistic children demonstrate their unique developmental patterns and characteristics. Moreover, due to the complex nature of non-literal language, the nature of experimental tasks, and autistic children\u2019 cognitive abilities, their social environments, structural language capacities as well as pragmatic skills need to be coordinated. However, there exists a debate over the specific role these factors play. Heterogeneous participants and lack of standardized methodologies make the experimental results lack comparability and inclusiveness. Accordingly, several implications for future research and intervention are advocated such as the standardization of experimental research, the implementation of qualitative analysis, the setting of a specific target for individuals, etc.This study is supported by the key project of Social Science Foundation of China \u201cA Comparative Study on Multimodal Reference Strategies of Chinese Children with Autistic and Typical children\u201d (Project No: 17AYY009).aXiaomeng Lyua School of Economics and Management, Shenyang Institute of Technology, Shenyang, Liaoning, 113122, China.Background: With the development of mobile internet technology and the popularity of smart phones in the world, mobile apps has rapidly entered the daily life of people, which has a profound impact on people\u2019s thoughts, emotions and consumer behavior. It is generally believed that the cost of acquiring new customers is much higher than retaining existing customers. However, app users still have varying degrees of concern during the using process. More specifically, the level of psychological anxiety can to some extent affect users\u2019 use behavior and intention to continue using. This study aims to investigate the relationship between the degree of psychological anxiety of college students and the intention to continue using mobile travel Apps.Subjects and Methods: In order to achieve the purpose of the study, literature analysis method, questionnaire survey method and statistical analysis method were used in this research. In order to ensure the diversity of sample sources, different major groups of college students were selected from different universities in China. An online questionnaire platform \u201cQuestionnaire star\u201d has been used to distribute and collect questionnaires. Finally, 489 questionnaires were collected. Before data analysis, strict data filtering is performed to check whether there is invalid data or abnormal values. Questionnaires with incomplete and missing items and the questionnaire with the same answer on 5 consecutive questions were considered invalid, and 445 valid samples were obtained. After data collection, SPSS 22.0 and AMOS 22.0 were adopted as tools for data analysis. The data analysis of this study was conducted using structural equation modeling (SEM) technique and followed the two-step approach of for assessing the measurement and structural models respectively.Results: By referencing the results of significance analysis of path coefficients, the eight hypotheses proposed in the study were supported. These findings in this study are also consistent with those in Bhattacherjee\u2019s study, the five original hypotheses of ECM model are supported. And this study further supports that ECM has the ability to interpret users\u2019 continuance intention of mobile travel apps. Besides, the variable of perceived interactivity was also verified in the study to have an impact on satisfaction and continuance intention. The revised model can be used to guide research on post-acceptance behavior. Increased perceived usefulness, confirmation and perceived interactivity can reduce the degree of psychological anxiety of college students and improve users\u2019 satisfaction and continuance intention. The results extend the findings of ECM model to the context of mobile travel apps and the hypothesis testing indicate that the ECM model is applicable to and can be stretched to the study of travel apps continuance intention.Conclusions: Improved perceived interactivity can reduce psychological anxiety of college students and enhance consumers\u2019 intention to continue using. E-commerce platforms should attach importance to enhancing perceived interactivity.This work was supported by my thesis advisor Professor Youngkyu Kim from Keimyung University.a,b, Qinghua LicRong Xiea School of Architecture and Engineering, Suqian University, Suqian City 223800, China, b School of Fine Arts, Qiongtai Normal University, Haikou City 571100, China, c School of Arts and Communications, Suqian University, Suqian City 223800, China.Background: With the increasingly prominent problems of modern diseases, urban diseases and sub-health, the wellness industry, as an important supplement to modern medical and old-age care institutions, has been booming, and the wellness homestay is one of the important forms of business.Subjects and Methods: The development of the healing function is inseparable from the elaborate design and construction of its landscape space and atmosphere. The article introduced Herman. Schmitz\u2019s new phenomenological concept of body economics to study the psychological mechanism of the healing function of landscape space in wellness homestays. In that case, the carefully created landscape space and atmosphere can effectively adjust and intervene in the structural and dynamic characteristics of the occupant\u2019s body economics, so that the occupant\u2019s body economic structure and dynamic characteristics can maintain a good state of tension, and can achieve a smooth transition between narrow atmosphere and wide atmosphere.Results: In an ideal state, not only the indoor and outdoor environment and landscape space of wellness homestay are carefully designed, organic agriculture, fishery, gardening and traditional handicraft practices are carefully organized and carried out, but also the rich regional culture, traditional festival folk custom, lifestyle, as well as the rich ethnic culture play a vital role in the atmosphere of wellness homestay space.It also has an important impact on the health function of homestays.Conclusions: All these colorful original and present elements, through the effective adjustment and intervention of the economic structure and dynamic characteristics of the body in the process of the restoration and liberation of the subject personality of the residents, can help them to restore a good balance and tension state, complete the smooth transition between the restoration and liberation of the subject personality, and finally realize the healing function of the landscape space of the residential health.This paper is an in-depth study of the complex psychological mechanisms in this process.This work was supported by Philosophy and Social Science Planning Project in Hainan Province (HNSK(ZC)21-163).a,b, Yanhua Zhangc, Chengfan Dua, Shijun Xia,d, Xiaochun Penga,eQiong Wanga Department of Pathophysiology, School of Basic Medicine, Health Science Center, Yangtze University, Jingzhou, Hubei 434023, China, b Department of Nursing, Health Science Center, Yangtze University, Jingzhou, Hubei 434023, China, c Department of Physiology, School of Basic Medicine, Health Science Center, Yangtze University, Jingzhou, China, d Shanghai Zhaxin traditional Chinese western medicine hospital, Jing\u2019an District Shanghai, 200435, China, e Laboratory of Oncology, Center for Molecular Medicine, School of Basic Medicine, Health Science Center, Yangtze University, Jingzhou, Hubei 434023, China.QW and YZ contributed equally to this study.Background: The ideological and political education (IPE)as an integral part of higher education is faced with different challenges amid this modern era of globalization. Therefore, the integration of IPE into the whole subject teachings, the so-called curriculum ideological and political education (CIPE)is an effective way to solve this problem. This study is the first to properly introduce the concept and history of curriculum ideological and political education in China. Additionally, it also analyzes the evaluation of students\u2019 psychological state and the importance of mental health education for the implementation of the curriculum IPE.Subjects and Methods: For those purpose, a total of 211 research subjects from Yangtze university are investigated to report the students\u2019 motivation and behavior toward the ideological, political, and pathophysiology courses Furthermore, a questionnaire survey is used to explore the relationship between pathophysiology and ideological and political courses, and their satisfaction with the implementation of ideological, and political courses in pathophysiology and mental health education importance.Results: The results demonstrate that there are significant differences between educational background and the degree of interest in ideological and political courses, gender differences, and the feedback data on the learning of professional courses. Postgraduate students are more interested in the ideological and political courses, whereas the females report that it is difficult to study pathophysiology; In addition, the results of one-way ANOVA show that the implementation effect of IPE in the pathophysiology curriculum depends on the degree of interest in IPE and pathophysiology curriculum, the degree of considering the importance of professional courses, the professional harvest after learning pathophysiology, and the degree of understanding the relationship between IPE and CIPE. A total of 81.04% of the students believe that the teachers telling stories themselves is the most popular way to spread education in the process of CIPE. This reflects the importance of mental health education from the perspective of CIPE. Additionally, this study also implies that PBL and flipped classroom teaching modes are the popular modes of teaching for CIPE.Conclusions: This study is conducive to promoting the improvement and implementation of CIPE with mental health education in higher education courses; thereby, providing valuable insights for the educational decision-makers.This work was supported by a project grant from National innovation and entrepreneurship training program for College Students (grant no. 202010489017), Hubei Province Natural Science Foundation of China (grant no. 2017CFB786), the Scientific Research Project of Education Department of Yangtze university (grant no. JY2020134), the Curriculum Ideology and Politic Project of Graduate School of Yangtze University (grant no. YSZ202111), and Yangtze University 2022 Full-English Teaching Course Construction Project(grant no. 202215).aYongli Tana Department of English, Chengdu University of Technology, Chengdu, Sichuan 510059, China.Objective: To investigate the efficacy of aesthetic education in reading and writing through the spatial image description reading of a famous writer\u2019s novels, and to analyze the college students\u2019 aesthetic psychological needs when they are in face of anxiety.Methods: First, close-reading is used in the interpretation. Bai Xianyong\u2019s novels have their own narrative discourse aesthetic feeling. The artistic characteristics are mainly elegant, light and gentle, delicate and sensitive, and peeling off impurities. There is a sense of loneliness in the works, showing a unique aesthetic style. From his works to observe the presentation of aesthetic style, spatial image is an indispensable means of expression. Second, observation is used in the classroom teaching. During a semester, the author systematically observed, recorded and analyzed students\u2019 mood changes in reading Bai Xianyong\u2019s novels in order to obtain the relationship of aesthetic reading and relieving the students\u2019 reading and writing anxiety. The author tried to keep objective and maintain the natural exposure of the observed students, and the obtained results were relatively effective.Results: In the reading and writing, there were a comparatively focused time out of interference and the participation of the students was full. And through the close-reading and observation, the author found the students\u2019 anxiety was relieved when the teacher served them novels with beautiful descriptions, and their aesthetic psychological needs were largely satisfied. Since novels have integrated the author\u2019s observer perspective, creative expression and the aesthetic consciousness of the readers\u2019 imagination, aesthetic reading before writing is an effective way to overcome writing anxiety.Conclusions: I suggest that the aesthetic psychological needs are students\u2019 innate motive for reading and writing, so meeting the aesthetic psychological needs of students have potential to assist educators to become more reflective about their full development and to assist the students to relieve the anxiety and to articulate their own reading and writing schedule. In this paper\u2019s example, through the aesthetic interpretation of the three types of spatial images with the highest frequency in Bai Xianyong\u2019s novels, the residence living room, the midnight park and the ballroom and the bar, the students understand the space-time dislocation, identity pursuit and uncertain fate. The students were led to discuss the relationship of psychology and metaphor, and to explore the specific aesthetic space elements such as body perception, emotion and thought in the novels. After the aesthetic analysis of this novel, the students were more active about their own readings and writings.This research was supported by Chengdu University of Technology \u201cDouble First-Class\u201d Initiative Construction Philosophy and Social Sciences Key Construction Project (ZDJS202318).a, Zhifang HanbXiaobo Taoa Graduate School, North China University of Technology, Beijing, China, b School of Economics and Management, North China University of Technology, Beijing, China.Background: With the development of economy and society, the personal quality of employees has been generally improved. However, many employees feel more pressure on how to achieve the best results in the competition with rising tide. Some near-morbid competition phenomena have caused many unhealthy psychological problems, such as high psychological pressure and heavy depression tendency. It is urgent for enterprises and the whole society to find correct solutions to achieve personal development, sustainable economic and social development. Sustainable supply chain management seems to be a reasonable choice. It is a modern management mode that comprehensively considers and balances economic, social, and environmental benefits. As an important part of social benefits, mental health can be maintained in a reasonable range through sustainable supply chain management.Subjects and Methods: Through interviews with three companies, namely company A, company B and company C, which all belong to the manufacturing industry, this paper analyzes the interview results with View of Grounded Theory. The reason why the selected companies belong to the manufacturing industry is that the popularization of automation in the manufacturing industry has become the trend of the times, which makes employees face the major problem of how not to be eliminated in the performance appraisal. Generally speaking, it is difficult for employees to maintain a healthy psychological state under such circumstances, which makes the manufacturing industry a very suitable research object for this article. In the analysis of the interview results, this paper divided the experiment into three parts according to the grounded theory: open coding, spindle coding and selective coding.Results: Based on the grounded theory, this paper sorted out 108 open coding results, 24 spindle coding results and 6 selective coding results in the interview contents. This paper described and analyzed the spindle coding results and the selective coding results to ensure that the sources of the results are true and credible, and finally proposed possible research issues and research directions.Conclusions: Research and analysis based on grounded theory shows that sustainable supply chain management will effectively improve the psychological health of employees. This will require enterprises to consider and discuss multiple aspects when formulating sustainable supply chain management strategies, and develop more diversified sustainable supply chain management strategies, so as to achieve the improvement of multiple benign indicators and benefits, and ultimately help employees and society achieve healthy and sustainable development.aMingzhu Zhua Innovation and Entrepreneurship Development Center, Tianjin Sino-German University of Applied Sciences, Haihe Education Park, Tianjin 300350, China.Background: To realize the development of innovation and entrepreneurship education in Chinese application-oriented universities, the integration with professional education is an important way to cultivate the entrepreneurship of students and promote the higher quality employment of graduates. In recent years, outstanding achievements have been made in the theoretical research and practice of innovation and entrepreneurship education in Chinese universities. However, China\u2019s innovation and entrepreneurship education is still in the exploration stage, especially in the integration with professional education. The separation has a negative impact on students\u2019 innovation and entrepreneurship education. Moreover, it is unknown to what extent the impact on students\u2019 mental health. This paper tries to comprehensively analyze the current situation, problems and results of the integration of innovation and entrepreneurship education and professional education. The corresponding solutions are proposed to help students complete better innovation and entrepreneurship education and to play a positive role in students\u2019 mental health.Subjects and Methods: This paper adopts the case analysis method and the questionnaire survey method. Taking an application-oriented university as a case, this paper analyzes the status in the integration of this university to find the phenomena and problems in the practice of innovation and entrepreneurship education in universities. Students are the important subjects and direct beneficiaries of education. Students\u2019 subjective feelings and objective needs are both important factors influencing education. The actual impact on the mental health of the students is analyzed through the questionnaire survey of the students in this university.Results: The integration model of innovation and entrepreneurship education in application-oriented universities is proposed from the perspective of universities, government and enterprises based on the symbiosis theory. An application-oriented university is taken as a case to explore the mechanism of innovation and entrepreneurship education, and the successful experience in the integration of education and its impact on students\u2019 mental health. Finally, three suggestions are put forward for the effective integration of innovation and entrepreneurship education and professional education in Chinese application-oriented universities. This also can play a positive role in students\u2019 mental health.Conclusions: The development of innovation and entrepreneurship education in universities should be deeply integrated with professional education. The universities, government and enterprises, all three should participate in the whole development of innovation and entrepreneurship education. The integration of innovation and entrepreneurship education and professional education in application-oriented universities can cultivate students\u2019 entrepreneurship better, help students to complete employment better, and help students\u2019 to improve in mental health better.This work was funded by achievements of the key research project of Tianjin education (JYDY-20223006) and the scientific research project of Tianjin Sino-German University of Applied Sciences (zdkt2021-013).aXinyi Zhanga School of Marxism, China University of Political Science and Law, Beijing, China.Background: To investigate whether the psychopathic agents who have deficits in emotional processing and inhibitory control are really competent with moral concepts and can make genuine moral judgements as non-psychopathic agents do, and to defend a specific kind of ethical view based on the analysis of relevant results came from psychological and neuroscientific experiments.Subjects and Methods: A certain number of representative existing moral psychological experiments were discussed and analyzed with an eye to arguing for and against relevant competing views about moral concepts and judgements, i.e. the judgmentalist view and the motivationalist view. These experiments including roughly three types, among which the first type is the experiments that using the moral/conventional distinction to test whether psychopaths have the ability to distinguish between moral transgressions and conventional transgressions, the second type is the experiments that using moral dilemmas such as the trolley problem constructed by philosophers to test whether psychopaths can properly distinguish personal harms from impersonal harms. Two phenomena could be observed from these empirical tests, i.e. firstly, psychopaths and non-psychopaths make different judgements with regard to personal aggressions; secondly, both psychopaths and non-psychopaths show the capacity to distinguish personal aggressions from impersonal aggressions. Since the judgmentalist view and some sophisticated version of motivationalist view could accommodate the two phenomena equally well, a third type of psychological experiments was appealed to, i.e. the neuroscientific experiments that using brain imaging techniques such as functional magnetic resonance imaging (fMRI) to reveal patterns of activation in cognitively-relevant areas and emotionally-relevant areas when psychological and non- psychological subjects are presented with moral dilemmas and make moral judgements as well as judgements about how to act. The data from fMRI scans were then used to support the judgmentalist and emotionist hypothesis about moral judgements.Results: The brain imaging experiments showed that, with regard to judgements about the moral properties of relevant actions and judgements about degrees of severity of moral violations, there was some kind of symmetry in psychopaths\u2019 mental mechanisms as well as in non-psychopaths\u2019 when they make moral evaluations. Non-psychopaths\u2019 judgments about moral properties and judgments about severity are both associated with emotion-related brain regions, while both types of judgments of psychopaths are connected to cognition-related brain regions. These two types of judgements are not actually generated by different mental mechanisms and processes.Conclusions: Although there is no significant difference between psychopaths and non-psychopaths in various moral judgment results, psychopaths lack the ability to make genuine moral judgments. This gives us a good reason to support the judgmentalist and emotionist view.The work on this paper was supported by the Humanities and Social Science Foundation of Ministry of Education of China (Grant No. 22YJC720022).a,bHaixia Baia Tourism and Economic Management Department, Lijiang Teachers College, Lijiang 674199, China, b School of Business, Yunnan University of Finance & Economics, Kunming 650221, China.Background: Huge Crisis always brings unprecedented impact to the tourism industry, leading the theme of resilience which aims for recovery become a hot topic in tourism research. However, the tourists\u2019 psychological resilience has been largely ignored, the mechanism of how tourists give play to their psychological resilience when facing the destination crisis is still ambiguity, and the impact on tourism industry is also unclear, forming a huge research gap. By exploring tourists\u2019 psychological resilience, this paper aims to enrich the literature on tourism resilience theoretically, and in practice, explores the enlightenment of tourism recovery under the crisis context from the perspective of demand.Subjects and Methods: Based on SOR theory and Maslow\u2019s Needs theory, this paper adopts the longitudinal research method to collect data to track the diachronic changes of the COVID-19 pandemic situation from January 2020 to December 2022 in Lijiang, a small tourist city in southwest China that is popular with domestic and foreign tourists. The Focus group discussion (FGD) method is used to summarize the stages of tourists\u2019 psychological changes, analyze the important role played by technology forces in this process, and predict the trend of digital transformation in the tourism industry.Results: In the early stage of the pandemic, due to the risk perception of external policies and internal loss aversion, tourists show travel fear or travel avoidance behavior out of the motivation of seeking safety. In this stage, they think highly of digital based countermeasures to ensure health and safety. In the middle stage, the depressed tourism demand seeks to release. On the one hand, tourists flow to local tourism markets such as travel around, suburban tourism, rural tourism and micro vacation, increasing the stable closed-loop circulation capacity of the local market. On the other hand, they pursue new forms of digital tourism, which can relieve the suffering of \u201clovesickness\u201d for tourism to some extent. In the later stage, the pandemic situation tends to ease, some tourists show a tendency of compensatory tourism and start taking \u201can instant trip\u201d mode, while more tourists remain cautious and planning long distance travel. At this stage, tourism psychology shows a strong preference for social needs and shows dependence on digital technology.Conclusions: Amid the crisis, tourists follow the psychological mechanism model of \u201cEnvironment-perception- motivation -behavior\u201d, showing the evolution and change law of three stages, namely, early period-travel fear, middle period-demand depression, late period-differentiation and transformation. Besides, digital technology plays an important role in each stage. From the perspective of tourists\u2019 psychology, this paper reveals that after the crisis, the recovery of tourism industry needs a process of gradual adaptation and restart. This research also gives some advice on the research agenda of tourists\u2019 psychological resilience in the future.This work was supported by a project grant from The National Social Science Fund of China (Grant No.22BGL151).a, Shizhen BaiaShiying Wanga School of Management, Harbin University of Commerce, Harbin 150028, China.Background: In recent years, as COVID-19, Ebola, monkeypox and other infectious diseases continue to spread around the world, public health emergencies have become another important factor affecting people\u2019s work and life. Public health emergencies are unexpected, unpredictable and irresistible, and they will cause devastating consequences and damage people\u2019s body, mind, spirit and other aspects. When people face these stressful events, once they cannot solve or deal with them, serious psychological imbalance will occur, which is called crisis. Acute psychological disturbance may occur during a crisis. The main reason for this is that people are afraid of the uncertainty and opacity of the event itself. Therefore, this paper uses the infectious disease model to establish the prediction model of public health emergencies. Through the model, the development trend of the events, mortality and other indicators are effectively predicted, so as to alleviate people\u2019s panic.Subjects and Methods: In this paper, a prediction model of public health emergencies based on SEIHD was established by improving the traditional infectious disease model and using three indicators, namely viral infection rate, virus incubation period and recovery rate. The SEIR model was improved and the parameters were modified to simulate the external intervention measures to predict the development trend of the epidemic.Results: In this paper, the law of epidemic transmission in Hubei Province was taken as an example to predict the number of confirmed cases and the number of deaths in two stages. The cumulative number of confirmed cases in Wuhan from January 11, 2020 to February 18, 2020, predicted by the prediction model, and the real data during this period was fitted. The two curves were compared, showing good fitting. The data of the COVID-19 epidemic in Hubei Province from January 11, 2020 to February 18, 2020 were input into the model as the basic data to predict the death toll during this period. The data were fitted to the real data respectively. At the same time, it was assumed that quarantine measures were taken ten days in advance to predict the death toll. The same method was used to predict the number of confirmed cases and deaths from February 18, 2020 to April 14, 2020, and the results were correct.Conclusions: The prediction results are basically consistent with the real data, which confirms the validity of this prediction method. The research proves that early detection, early prevention and control of public health emergencies can control their development trend, curb their widespread spread, and reduce the harmful impact on social life and economy. At the same time, it can alleviate people\u2019s panic about the epidemic to a certain extent. So as to avoid the acute psychological disturbance caused by insufficient cognition of public health emergencies.This work is supported by Humanities and Social Science Project of Ministry of Education (18YJCZH175); the National Grant Natural Science Foundation of Heilongjiang Province (YQ2019G004); University Nursing Program for Yong Scholars with Creative Talents in Heilongjiang Province (UNPYSCT-2020081).a, Yuanxin ZhangbXueqing Kanga School of Economics, Sichuan University, Chengdu 610065, China, b Chengdu Institution of New Economic Development, Chengdu 610042, China.Background: New-type urbanization is not only the urbanization of population, but also the citizenization of agricultural transfer population and realize social psychology integration in aspects of lifestyle, cultural types, psychological resources and corresponding social structure. The psychological health level of the agricultural transfer population is a key component of promoting social integration of agricultural transfer population into cities, which can improve new-type urbanization. Compared with the expanding capital demand of these related projects, it is far from enough to rely on fiscal revenue, therefore optimizing investment and financing mechanism for urbanization and strengthening financial support for new urbanization is urgent.Subject and Method: This study aims to analyze the agricultural transfer population\u2019s demand of social integration to improve their psychological health level and conduct to optimize the allocation of supporting financial resources in process of new-type urbanization. By analyzing the financial support mechanism of agricultural transfer populations\u2019 social integration from the perspective of environmental psychology, we establish a new financial support path design containing general path as well as specific path, tested by structural equation model based on panel data 31 provinces of mainland China from 2008 to 2017.Result: The results show that the effect of financial support for agricultural transfer population\u2019s social integration to China\u2019s new-type urbanization is more significant than fiscal revenue support, and the supporting function is realized through general path and specific path respectively to ensure migrant people\u2019s equal access to infrastructure and public services to help them to form place connection to gain social integration, which is beneficial for the agricultural transfer population to obtain a sense of happiness from urban life, thereby improving their psychological health status.Conclusion: This study recommends that the enterprises engaged in agricultural transfer population employment and governments need to pay attention to their psychological health status and enhance related infrastructure and equalization of social security to help them achieve social integration. Meanwhile, it is indispensable to build a diversified financial support system in paths of entity economy development, infrastructure construction, employment, education, housing, social security to form place connection from physical environment dimension and solve the recent financial support system\u2019s problem of unitary structure, insufficient innovation and scale, which will enhance agricultural transfer population\u2019s security sense of social security and local trust through place connection to raise their psychological health level to realize social integration.This paper is supported by the National Social Science Fund of China (grant number 14BJY055).a, Tae-Won KangbJing Chia Department of Global Entrepreneurship, Kunsan National University Gunsan 54150, Republic of Korea, b Department of Supply Chain and Logistics, College of Social Sciences, Kunsan National University, Gunsan 54150, Republic of Korea.Background: To explore the promotional strategies for university library reading and summarize the experience gained in the course of disseminating Chinese traditional culture in the context of national reading, based on user psychological needs and relying on college student volunteers.Subjects and Methods: In 2009, the Library of SDNU analyzed user needs, refined its collection advantages, and took the dissemination of traditional Chinese culture as a starting point to bring college student volunteers into the role of reading promoters, gained support from the university as well as the social forces, uniformly planed marketing development and focused on the impact assessment. In this article, the specific case of the SDNU Library Reading Promotion Project \u201cPromoting Volunteerism and Reading to the N-th Power\u201d was analyzed, and the origin, goals, products, evaluation and main processes of project were introduced.Results: The reading marketing project \u201cPromoting Volunteerism and Reading to the N-th Power\u201d was planned and organized by the Library of SDNU from 2009. The inspiration for the project derived from the classic book A Single Spark Can Start A Prairie Fire by Mao Zedong, the great leader of China. Since the launch of the project, the Library of SDNU has been awarded the national-level \u201cDemonstration Base for National Reading\u201d (at the team level); the university student volunteers in the library have won three gold awards in the three major categories of university student reading promotion nationwide ; the cooperation between the Library of SDNU and public welfare organizations and social enterprises has become increasingly close (at the marketing level); the satisfaction survey of readers among the faculty and students at SDNU Library has ranked first for consecutive years, and the number of social readers following their new media platform for marketing projects has been increasing year by year . The volunteer reading promotion project for college students in the Library of SDNU has been reported by many media outlets such as Renmin.com, Dazhong.com, Fenghuang.com, Qilu Evening News, and Life Daily, and has aroused strong social repercussions . The \u201cPromoting Volunteerism and Reading to the N-th Power\u201d reading marketing project of SDNU Library is gradually realizing the potential of starting a prairie fire with a single spark, taking university libraries as the front line.Conclusions: This project, based on users\u2019 psychological needs, leveraging college student volunteers to promote traditional Chinese culture in university libraries, is a positive manifestation of the views and attitudes of the International Federation of Library Associations and Institutions (IFLA) strategic plan. The project is conducive to the internationalization and branding development of Chinese library reading marketing projects and the establishment of a marketing system for the global dissemination of traditional Chinese culture through university library systems. The design and implementation of the project\u2019s working methods have a close social, school, and personal background. The Library of SDNU has actively responded to the National Reading initiative by cultivating excellent reading promotion projects that can be used for reference and easy to replicate, spreading the permanent charm of Chinese culture and the style of the times, which is conducive to enhancing the reading happiness of people at all levels of society, including entrepreneurs, students, farmers, and other groups; and by cultivating excellent reading promoters, giving full play to the advantages of peer partners, and achieving positive self-development through mutual assistance and cooperation, which is conducive to the unification of the \u201cself-value\u201d and \u201csocial value\u201d of the personality of the Chinese youth generation.aLancang Wanga Beijing University of Chemical Technology, Beijing 100029, China.Background: According to a survey of 126000 college students in China, it was found that 20.23% of college students have psychological disorders, 11.7% of college students have different degrees of psychological diseases, and 75% have experienced psychological crisis. Will quality is an important part of athletes\u2019 competitive ability, a necessary guarantee for their excellent performance, and also the embodiment of sports spirit and sports culture, especially for college athletes at the growing stage. At the same time, mental health is of great significance for college athletes to resist mental diseases, improve learning efficiency, complete training tasks, and improve interpersonal communication and quality of life.Subjects and Methods: This paper uses the methods of literature, experiment and mathematical statistics to study the CUBA players of several universities in Chaoyang District of Beijing. The experiment was divided into two groups. The experimental group added outward bound training to the training plan, while the control group carried out according to the original training plan. Before and after the experiment, the professional psychological scale was used to measure and record the various indicators of the subjects for analysis and research.Results: Through theoretical analysis and experimental research, outward bound training plays a positive role in the cultivation of CUBA athletes\u2019 mental health. The experimental research shows that the addition of outward bound training in the training has a positive effect on the cultivation and improvement of the will quality of college students\u2019 athletes. Although this improvement is unbalanced, there is no significant difference in the three aspects of hardiness, tenacity and goal clarity from the statistical point of view, but it is very obvious in the three aspects of decisiveness, self-control and self-confidence (P<0.05).Conclusions: It is suggested to pay more attention to and cultivate the mental health level of college athletes. It is suggested that university sports teams should selectively integrate part of outward-bound training into the training of sports teams according to their own conditions, so as to improve the mental health level and willpower quality of athletes. And gradually establish and improve the curriculum system in line with the training of various projects of the university based on their own needs.a, Ling Miaob, Yanjie WangcXiaoxi Suna The CPC Henan Provincial Party Committee Party School, Zhengzhou, Henan 451464, China, b The CPC Henan Provincial Party Committee Party School, Zhengzhou, Henan 451464, China, c College of Humanities and Development Studies, China Agricultural University, Beijing 100089, China.Background: This article analyzes the development of franchising in China, its growing role in the Chinese economy, and how its development differs from that of developed economies. And the article attempts to analyze from three dimensions: system, culture, and practitioners\u2019 mental health. The results show that these three dimensions will have a significant impact on franchising in China, and it is necessary to focus on these three aspects when formulating policies and implementing them in the future. In particular, the psychological health of practitioners is closely related to the future sustainable development of franchising operations to a certain extent. Therefore, it is necessary to conduct necessary intervention and guidance on the psychological health of practitioners to ensure that they can maintain a good psychological state to carry out their daily work. Franchising in China has shown great advantages and taken a crucial role in the rapid growth of the Chinese economy. While few scholars have explained the unique practices of franchising in the Chinese context. Franchising has become a significant business model in China after reform and opening up as in Western countries.Subjects and Methods: This article is organized as follows. First provide a brief review of the franchising around the world and then discuss the trends of franchising development in China. With a comparison of law and regulation, economy, and culture, the institutional and cultural differences in China are analysed. After that, this article summarize the unique characteristics of franchising in China and discuss how franchising works differently in China. Finally, the authors identify special issues and shed new light on the existing franchising literature in the emerging business environment.Results: Present the growth of franchising in China as a business model relative to the West. The cultural and institutional characteristics compared with the West make franchising in China different. Successful franchises in China have less reliance on contracts and more on trust and personal ties between franchisor and franchisee.Conclusions: In general, franchising will become increasingly accepted and encouraged because the arrival of franchises contributes to the growth of the economy in China. Since the first pilot franchise regulations were adopted in the late 1990s, domestic franchises have taken off with the growing purchasing power gained by Chinese consumers. In addition, universal cultural trends allow many international franchises to enter China. As in Western economies, both international and domestic franchise chains have become a significant business model in China and have grown substantially over the past twenty years. Although this competitive business model has received a surge of scholarly interests, research in this area has sought to provide a franchising model from the Western perspective. The public\u2019s understanding of franchising in China is low. This research focuses on the differences in franchising in China. Franchising in China has developed specific characteristics compared with the West, which is by driven institutional and cultural differences, as well as China\u2019s level of development. Built on trust, a franchisor-franchisee relationship has the requisite guanxi for business success in China. The implications can be applied to some Asia countries with similar cultural backgrounds. Future studies are encouraged to compare the development of franchising in emerging business landscapes, which accounts for most of the world\u2019s population and over half of the world\u2019s natural resources.Soft Science Project: Challenges and Countermeasures for the Digital Transformation of Traditional Industries in Henan Province under the \u201cDouble Carbon\u201d Goal (232400410201).a, Min ZhangaXiang Lia School of Education, Huaibei Normal University, Huaibei 235000, Anhui, China.Background: The emotion of gratitude reflects the level of individual mental health by affecting moral judgment. This study aims to investigate the impact of gratitude on college students\u2019 moral judgment ability.Subjects and Methods: In experiment 1, the psychological experimental programming software E-prime was used to compile moral word judgment task for pre-post test. Experiment 2 adopted a 2\u2009\u00d7\u20092\u00d72 experiment design between subjects, which revealed the influence mechanism of gratitude on college students\u2019 moral judgment by examining three variables: gender, gratitude degree and whether one word is moral word or not.Results: It was found that: (1) the short film used in the study could effectively induce the subjects\u2019 gratitude ; (2) College students displayed significant gender difference in moral word judgment task ; (3) College students\u2019 gratitude degree exerted significantly different impact on moral word judgment task ; (4) College students\u2019 gender and gratitude degree exerted significant interaction effect on moral word judgment task . Conclusions: Gratitude has a significant impact on college students\u2019 moral judgment. High gratitude individuals have more active cognitive processing, resulting in greatly improved quality in thinking and decision-making. Also, such individuals have higher moral judgment level, showing greater positivity than low gratitude individuals in moral judgment.The paper was supported by Study on Mental Health Promotion Model for Special Education Teachers Based on Mental Resilience (Project No.: 23500024).a, Lin Kuanga, Tingyu Xua, Wei Lua, Jialing ShiaYangfan Wua Hunan University of Chinese Medicine, Changsha, Hunan, ChinaBackground: Genital herpes (GH) is a common sexually transmitted disease mainly caused by herpes simplex virus type 2 (HSV-2), which lurks innerve roots and causes recurrent disease. Currently, there is no cure for GH, but nucleoside antiviral drug can inhibit viral replication,and acyclovir is one of the drugs commonly used in clinic to improve its symptoms.Subjects and Methods: The effect of acyclovir on HSV-2 infected human neuroblastoma cells (SH-SY5Y) was studied by label-free quantitative proteomics in order to explore the action mechanism of acyclovir on HSV-2 virus lurking in neurons. In this study, we treated SH-SY5Y cells infected with HSV-2 virus with acyclovir drug-containing serum. After modeling, extracted cell proteins, detected protein expression differences using label-free quantitative proteomics, and analyzed the GO functional enrichment, domain enrichment and transcription factor annotation of these differential proteins.Results: The results showed that 1011 proteins were involved in the intervention of acyclovir against HSV-2 virus lurking in neurons, of which 513 were up-regulated and 498 were down-regulated. These proteins were mainly concentrated in biological processes, cell composition and molecular function. The results of GO functional enrichment analysis, domain enrichment analysis and transcription factor analysis of differential proteins showed that, the potential targets of acyclovir are mainly concentrated in the nucleus and mitochondria, acyclovir mainly acted on mitochondrial carrier domain, ATPase conserved sites and annexin sites, and acyclovir mainly interfered with HMG-box, zf-C2H2, CSD, Homeobox and other transcription factors to inhibit the replication of HSV-2 virus.Conclusions: Acyclovir interferes with the replication of HSV-2 virus in cells by affecting the catabolic process of nuclear transcription mRNA, mitochondrial respiratory function and ATPase activity.This study was supported by grants from Project supported by the National Natural Science Foundation of China (Grant No.82174391); Chinese Medicine Scientific Research Foundation of Hunan (Grant No.2021058).aYulan Zhoua Academy of Fine Arts, Sichuan Minzu College, Kangding, Sichuan 626001, China.Background: Tibetan embroidery of Relieving anxiety and improving mental health is facing the inheritance crisis such as the fault of the inheritance population, the increase of Tibetan embroidery substitutes and the decrease of public acceptance. Promoting the industrialization development of Tibetan embroidery skills with the integration of culture and tourism; drive the personalized development of Tibetan embroidery skills with innovative ideas; drive the intensive development of Tibetan embroidery skills with capable craftsmen; promote the socialized development of Tibetan embroidery skills with targeted poverty alleviation.Subjects and Methods: Conduct empirical research in Tibet-related areas.Results: How Tibetan embroidery can help poverty alleviation and rural revitalization under the consciousness of building a Chinese national community.Conclusions: Carefully summarize and promote the experience of poverty alleviation, and continue to consolidate the stable employment of the helpers; fully implement the revitalization of Tibetan embroidery, focusing on strengthening the integrated development of Tibetan embroidery tourism; focus on building the development of the whole industry chain of Tibetan embroidery, and promote the revitalization of Tibetan embroidery industry to empower rural areas; adhere to innovation to lead the living inheritance of Tibetan embroidery and expand the market consumption space of Tibetan embroidery products; guide college students with relevant ambitions to tap the cultural and creative resources of Tibetan embroidery, highlight the advantages of manual creation, and finally realize that college students can promote employment through entrepreneurship and alleviate the pressure of social employment. Tibetan embroidery plays an increasingly important role and shoulders the mission and responsibility from poverty alleviation to rural revitalization. The internal logical mechanism between the two requires Tibetan embroidery to take the initiative to take advantage of the development of the rural revitalization strategy. It is necessary to strengthen the inheritance education of Tibetan embroidery, enhance the consciousness and self-confidence consciousness of the inheritance subjectivity, reshape the self-respect and self-confidence of its own historical and cultural characteristics, cultivate the endogenous motivation of rural revitalization, and awaken the road consciousness and road self-confidence of Tibetan compatriots to conspire with their own national characteristics. We should also adhere to innovative development, live inheritance, fully tap the profound cultural heritage and unique capitalization transformation advantages of Tibetan embroidery, enhance the potential industrial development ability of Tibetan embroidery in various forms, and promote the integration of Tibetan embroidery into modern life on the basis of maintaining the national style and local characteristics of the original process.This work was supported by 2021-2023 Sichuan Higher Education Talent Training Quality and Teaching Reform Project: Theoretical and Practical Research on Teaching Reform of Building the Chinese National Community Consciousness Education in Universities in Ethnic Areas (JG2021-1417); National Ethnic Affairs Commission\u2019s Teaching Reform Project \u201cResearch on Building Chinese National Community Consciousness into the Ideological and Political Curriculum Construction of Ganzi Universities\u201d (ZL21064);Sichuan Minzu College 2021-2023 Higher Education Talents Training Quality and Teaching Reform Project \u2018 Research and Practice of Diversified and Innovative Talents Training of Tibetan Folk Crafts\u2019 (JG202111).a, Feng Luob, Zhe WangbWei Shanga School of Management, Chengdu University of Information Technology, No.24 Block 1, Xuefu Road, Chengdu, China, b School of Economics and Management, Sichuan Tourism University, No.459, Hongling Road, Chengdu, ChinaBackground: As a new form of team joint, cross-platform service emerges at the moment and gets good feedback from the market. In recent years, performance appraisal as an environmental cue has been widely concerned by the academic community. However, the impact of performance appraisal on cross-platform services is unknown, especially given the psychological awareness and stress of employees, which is undoubtedly an urgent issue for enterprises to understand.Subjects and Methods: Based on the two-factor theory, this paper explores the influence of performance appraisal on cross-platform service preference and its internal mechanism, and explores the moderating effects of different types of performance appraisal in this process. Through 4 experiments, experiment 1 is a field experiment between single factor groups, experiment 2 is a laboratory experiment between single factor groups, experiment 3 is an online questionnaire between single factor groups, experiment 4 is a 2\u2009\u00d7\u20092 field experiment, the research method of combining field experiment and laboratory experiment is adopted, and the research design supported by actual service evaluation and questionnaire measurement is adopted. The variance analysis and bootstrap method were used to examine the internal mechanism of performance appraisal\u2019s preference for cross-platform services through psychological stress and anxiety.Results: The results show that experiment 1 verifies that compared with non-performance appraisal state, employees in performance appraisal state show lower preference for cross-platform services. In experiment 2, other competitive explanation mechanisms were excluded and it was again verified that, compared with non-performance appraisal state, employees were less likely to prefer cross-platform services in appraisal. Experiment 3 verifies that the two-factor theory plays a psychological mediating role in the relationship between performance appraisal and cross-platform service preference, and clarifies the internal two-factor psychological cognition mechanism of this relationship. In experiment 4, the experimental situation was changed, that is, the performance appraisal level was divided into assessment and non-assessment, and the assessment type was divided into individual assessment group and class assessment group, which verified the rationality of the two-factor theory as the internal mechanism of performance appraisal for cross-platform service preference. At the same time, it is found that the performance appraisal type has a moderating effect on the influence of performance appraisal on cross-platform service preference and the mediating effect of the two-factor theory.Conclusions: The research results theoretically expand the relevant theoretical research on job assessment, employee psychology, service support and manufacturer association. At the same time, in practice, it not only provides feasible suggestions for the work arrangement and psychological pressure relief of employees in manufacturing enterprises, but also provides valuable suggestions for service providers to carry out manufacturer association and cross-platform service recommendation. Therefore, this paper has important theoretical contribution and practical significance.a,b,c, Nan Kanga,b,c, Wenjuan Yana,b,cYuxia Zhua People\u2019s Hospital of Ningxia Hui Autonomous Region, Yinchuan, Ningxia 750001, China, b Ningxia Eye Hospital, Yinchuan, Ningxia 750001, China, c The First Affiliated Hospital of Northwest University for Nationalities, Yinchuan, Ningxia 750001, China.Background: To investigate the effect of Child-Pugh grading standard in the surgical treatment of liver cirrhosis with gallstones in elderly patients.Subjects and Methods: This retrospective analysis selected 68 elderly patients of liver cirrhosis with gallstones treated in Ningnan Hospital from February 2021 to February 2022. According to Child-Pugh grading criteria and the individual liver reserve function, all patients were divided into three grades, grade A, B and C. Then, patients were classified into different groups according to varies surgical methods. 33 patients were in the first group which following laparoscopic cholecystectomy (named LC), 28 patients were in the second group which following traditional laparotomy for cholecystectomy (named OC), while 7 cases were in third group for mixed ways (named LC + OC). All the patients were confirmed by CT and MR. The effectiveness results of 68 elderly patients with cirrhosis complicated with gallstones after different surgical treatment were analyzed.Results: Child-Pugh grading on a scale of 5 to 7 is the safest range for the three types of surgery. When the score is higher than 10, it implicates a great risk, and surgical treatment should be carefully selected according to the patient\u2019s condition in these cases. The 33 patients in LC group recovered quickly and were discharged from hospital on the 5th day after surgery. Among the 28 patients in the OC group, the condition recovery was slower than that in the LC group, and 4 patients had mild complications and extended hospitalization for 3 days. Among the 7 patients in LC+OC group, due to their serious condition, 1 patient had complications during the recovery period and was hospitalized for 5 days longer. Another 1 patient\u2019s condition deteriorated and died 2 days after surgery in LC+OC group. The study also conducted a followed up process, 67 patients were discharged and followed up, 11 of which were re-hospitalized.Conclusions: Child-Pugh grading criteria can help doctors effectively evaluate the liver reserve function of patients, and has a guiding effect on the rehabilitation of elderly patients with liver cirrhosis complicated with gallstone after surgical treatment. Our research finds that Child-Pugh grading can reduce the risk of surgery, shorten the length of hospitalization, reduce the re-hospitalization rate, prevent complications and improve the quality of life of the patients.This work was supported by a project grant from Major R & D Plan Project of Ningxia Hui Autonomous Region (Grant No. 2017 BY 036)a, Yiru YangaDeyu Chena School of Accounting, Guangzhou College of Commerce, Guangzhou 511363, China.Background: With the rapid upgrading of the industrial structure in the Pearl River Delta (PRD), the competition in the manufacturing market is becoming more and more fierce? It not only causes the psychological anxiety of the managers and employees of the enterprises in the Pearl River Delta, but also directly affects the economic benefits of the enterprises and their sustainable development in the future. At present, an important obstacle to the construction of a harmonious socialist society is the pressure and psychological anxiety of employees. The manufacturing industry in the Pearl River Delta region is developed with a large number of employees. Due to the employees\u2019 educational background, skills and income being in a weak position, they bear more pressure and psychological anxiety than other organizations, reduce corporate profits, while bringing serious family and social problems to society.Subjects and Methods: This paper discusses the current situation and causes of cost management of manufacturing enterprises in the Pearl River Delta, taking kub pen company as an example, this paper analyzes the psychological anxiety of enterprise cost managers in the Pearl River Delta by means of activity-based costing (ABC), which includes the lack of cost awareness, the lack of cost management, the lack of material management and the lack of basic work.Results: The various problems in cost management of manufacturing industry in the Pearl River Delta (PRD) have resulted in the decline of the profits of manufacturing enterprises. The manufacturing enterprise has no core competitive power, and the low-cost comparative advantage is losing, the crisis is not only the production crisis, but the survival crisis, which also causes the enterprise manager\u2019s psychological pressure to be extremely big, even part of the enterprise management because can not stand the pressure to choose to jump off the building to end life. To solve these problems, we must make a reasonable response strategy to enhance the sustained competitiveness in the whole market economy.Conclusions: According to the psychological anxiety of enterprise cost managers in the Pearl River Delta, the author puts forward some countermeasures: strengthening the management of activity-based costing, establishing the management mechanism of responsibility cost, improving the quality of basic data; Develop preventive measures and strict cost accounting. By establishing a scientific and effective cost management system, the manufacturing enterprises in the Pearl River Delta can alleviate the psychological anxiety of the managers and employees, and improve the economic benefits of the manufacturing industry, thus enhance the competitiveness of enterprises in the Pearl River Delta in the regional market.a, Lili Zhoub, Xin XucKaige Zhoua New Economic Reseach Institute, Ningbo University of Finance&Economics, Ningbo, Zhejiang 315175, China, b Nanchang Institute of Technology, Nanchang 330511, China, c Library of Huaiyin Normal University, Huai\u2019an, Jiangsu, 223001, China.Background: Emergency medical supplies are a necessary material guarantee for dealing with public health emergencies. Good emergency medical supplies inventory management is an important part of emergency medical management mechanism, which will provide strong support for effective response to public health emergencies.Subjects and Methods: Supply chain management of emergency medical supplies has become an important factor to reduce sudden disasters and emergency medical accidents. The optimization of medical supplies inventory can improve the level of emergency medical treatment, control the spread of infectious diseases and reduce the losses caused by infectious diseases. Medical big data shows that the formulation of emergency medical supplies inventory strategy is affected by demand, price and other factors. This paper proposes and analyzes the dynamics of a supply chain system under inventory and price factors with the feature of piecewise linearity. This switched linear model composed of four subsystems extends the classic inventory models under inventory. Based on properties of switched model, some analytical stability results are derived, and the global dynamic behavior is theoretically examined. Simulation experiments are designed to show the stability results and observe other nonlinear phenomena. It is illustrated that the inventory-dependent demand function and the forecasting inventory rate combine to bring about the stability result or arise more complicated nonlinear dynamics, such as chaotic and periodic fluctuations of inventory and order.Results: These results are suitable for understand the dynamic complexities of supply chain system and present the direction for choosing the decision parameters to improve overall performance. Some illustrative examples demonstrate the effectiveness of the obtained scheme.Conclusions: Efficient inventory management based on medical big data can flexibly respond to the rapidly changing demand of medical supplies in an emergency epidemic, so as to improve the accuracy and timeliness of medical assistance, promote the early control of the emergency, shorten the spread time of the emergency, and reduce the harm caused by the emergency to the society. It has positive significance for the rapid elimination of major emergency after the outbreak, and is worthy of promotion.This work was supported by a project grant from the 2021 Annual Project of \u201cthe Chinese Society for Technical and Vocational Education\u201d & \u201cNew-Era TVET Institute of China\u201d, Historical Mission and responsibility of vocational education in the construction of Healthy China (Grant No.SZ21A003).a, Yuanhui CuiaGuangwei Zhanga School of Information Science and Engineering, Dalian Polytechnic University, Dalian, Liaoning 116034, China.Background: To explore methods of body fat measurement and improve the accuracy of body fat measurement. It is of great significance for body shape management, monitoring human health, and preventing diseases such as hypertension and hyperglycemia.Subjects and Methods: An impedance measurement system was designed based on a human body impedance measurement model. Sixty college students were randomly selected to measure their body fat ratio, body impedance, height, weight, age, and gender to form 60 sets of data sets. Use MATLAB software to build an extremum learning body fat prediction model based on tent mapping and particle swarm optimization (TPSO-ELM). The traditional extremum learning machine (ELM) model and standard particle swarm optimization extremum learning machine (PSO-ELM) model were set as control experimental groups. Then select 50 sets of data from 60 sets of data as the training dataset, and the remaining 10 sets of data as the test dataset.Results: Observe the extremum learning body fat prediction model based on tent mapping and particle swarm optimization and the broken line chart of the body fat prediction results of the control group. The predicted results of the extremum learning body fat prediction model based on tent mapping and particle swarm optimization have the best fit with the true value curve. Calculate the absolute error of the extremum learning body fat prediction model based on tent mapping and particle swarm optimization and the control group. Then calculate the average of the absolute errors of 10 sets of data. The average absolute error of the predicted value of the extremum learning body fat prediction model based on tent mapping and particle swarm optimization was 0.0085, compared to 0.22 and 0.023 in the control group. Therefore, the body fat prediction algorithm of extreme learning machine based on particle swarm algorithm of tent mapping proposed in this paper improves the accuracy of body fat measurement.Conclusions: This paper proposes an extremum learning body fat prediction model based on tent mapping and particle swarm optimization. Human impedance, height, age, weight, and gender were used as input parameters for the body fat prediction model. The simulation experiment proves that the new body fat prediction model proposed in this paper improves the accuracy and efficiency of body fat prediction. Body mass index (BMI) is currently the standard recommended by the World Health Organization (WHO) to evaluate body fat and lean. The experimental data were validated according to the obesity and obesity standards established by the World Health Organization, and the results showed good consistency. The fitness prediction algorithm proposed in this paper improves the accuracy of body fat prediction to a new level. The predicted body fat by this method is more useful in monitoring human health and effectively preventing diseases.aGuangli Longa School of Physics and Telecommunication Engineering, Shaanxi University of Tecnology, Hanzhong City 723001, China.Background: The purpose of health management is to prevent and control the occurrence and development of diseases, to reduce the medical cost and to improve the quality of life, and health risk factors associated with their lifestyle, through health information collection, health testing, health assessment, personalized monitoring management programs, health interventions and other means to continue to improve the process and methods. The problem of food safety is a key issue concerning human health, the most important part of which is the detection of food spoilage, spoilage and deterioration of food, regardless of sensory or physical and chemical properties, it is very important to detect the level of food spoilage quickly and accurately.Subjects and Methods: In view of the current problems is people\u2019s concern about the relationship between food and human health, as well as the harmful effects of rotten food on the human body, etc., a kind of food spoilage detection circuit based on health management is designed, The circuit is based on STC12C5A60S2 microcontroller using resistance detection network and moisture sensors to collect data,DHT11 temperature sensor is used to measure the temperature, test results are displayed by the LCD12864 and broadcast by the voice broadcast module SYN6288, and several kinds of normal food standard values are stored in the microprocessor, kinds of food is replaced by pressing button.Results: The experiment proved that the circuit can realized the normal measurement of food. Measurement time, food resistance and moisture as well as the current room temperature can be displayed on the display, the test results whether the food consumed can be broadcasted.Conclusions: Health management is the use of information and medical technology, a complete, thorough and personalized service procedures are built on health care, medical science, its aim is to help healthy people and sub-healthy people to establish an orderly and healthy life style, reduce risk state and keep away from disease by maintaining and promoting health, through the arrangement of medical services, as soon as possible to restore health. In this paper, the mechanism of food spoilage was studied. The resistance and moisture content of food were detected by using water detection circuit and resistance detection network, and compared with the standard value of fresh food, to judge the extent of spoilage of food spoilage, to make food edible or not. Spoilage and deterioration of food can cause poisoning or potential harm to the human body. People with mild poisoning often have symptoms of acute gastroenteritis, such as vomiting, diarrhea or abdominal pain, fever, etc., severe poisoning in the respiratory, nervous, circulatory and other system symptoms, a slight delay may appear life-threatening. Therefore, food spoilage and deterioration has a great impact on human health, detection of food spoilage and deterioration of human health management is of great significance.This work was supported by Ministry of Education industry-university Cooperation Project (project number: 220604307070644), and this paper is supported by the college-level first-class specialty Communication Engineering Construction Project of in Shaanxi University of Technology.a, Xinmeng KebSha Lia Department of Foreign Language, Zhengzhou University of Science and Technology, Zhengzhou, Henan 450064, China, b Office of Academic Affairs, Zhengzhou Railway Vocational and Technical College, Zhengzhou, Henan 450064, China.Objective: In recent years, in college oral English teaching, it has been found that more and more students are feeling anxious and afraid of opening their mouth to speak English, which hinders the improvement of their oral communicative ability. This is not in line with the policy of cultivating application-oriented talents. Therefore, this paper aims to analyze the reasons that lead to students\u2019 anxiety in oral English class and then proposes strategies that could help to adjust students\u2019 anxiety. It is hoped that teachers could get some suggestions to ease students\u2019 anxiety and help them maintain a healthy mentality in oral English learning, which is conducive to cultivate students\u2019 communicative ability to meet the standards of application-oriented talents cultivation.Method: This paper mainly adopts qualitative analysis based on the analysis of previous literature. In order to effectively solve the problem of students\u2019 anxiety in oral English learning, this paper first makes a brief summary of anxiety from psychological perspective, and then analyzes in depth the important impact of anxiety on college students\u2019 oral English learning. Then, the main subjective and objective factors influencing the degree of students\u2019 anxiety are analyzed. Based on the problems found in previous section, effective strategies to ease students\u2019 anxiety are put forward.Results: It is pointed out in this paper that anxiety has an negative influence on students\u2019 oral English learning. Then the subjective and objective factors contributing to anxiety are analyzed. The subjective factors are ideal level, learning motivation and learning ability while the objective factors are teachers\u2019 teaching ability and region differences. At last, strategies to help students reduce anxiety in oral English learning are proposed. The main strategies are building a good classroom atmosphere for oral English teaching, organizing group activities appropriately, timely guiding students to correct oral mistakes, scientifically designing classroom questioning, enriching language and culture input.Conclusions: Based on the analysis of the negative impact of anxiety on oral English learning and its major influencing factors from both the subjective and objective perspective, the strategies proposed in this paper are aimed to help students adjust their anxiety, overcome the psychological stress during the learning process so as to fundamentally promote students\u2019 oral English learning efficiency and effect, exercise and develop their oral expression and English application skills, which can ensure the effect and quality of oral English teaching to truly meet the needs for oral English professionals for the development of the society in the context of globalization.a, Weirong Wanga, Wen Qiaoa, Xinyi LiaTing Zhanga Department of Public Policy and Management, Northwestern Polytechnical University, Xi\u2019an, Shaanxi 710072, China.Background: The provincial comprehensive medical reform is an important pilot policy to improve the efficiency of China\u2019s basic medical and health services. It is of great theoretical and practical significance to systematically explore the impact of policy implementation on optimizing resource allocation and improving the service efficiency of primary medical and health institutions.Subjects and Methods: Based on this, we first adopted the super-efficient DEA model to evaluate the medical service efficiency in primary healthcare institutions in China from 2010 to 2019, then analyzed the effect and the influencing factors of policy implementation in the first pilot areas through the synthetic control method.Results: 1. the service efficiency of primary healthcare institutions in China ranges from 1.061 to 1.01, the average values of the efficiency in the eastern, central and western regions were 1.259, 0.835 and 0.962 in that order. The eastern region shows an inverted \u201cN\u201d shape, the central region shows a \u201cU\u201d-shaped cycle, and the western region has shown a fluctuating downward trend. 2. In the pilot area, the gap between Jiangsu and synthetic Jiangsu is widening after the implementation of the policy, it shows that the provincial healthcare reform pilot policy effect in Jiangsu is obvious. The probability of the ineffectiveness of that policy is less than 10%. The placebo test was not effective in the pilot areas other than Jiangsu.Conclusions: 1. The service efficiency of grass-roots medical and health institutions in China presents an Eastern > Western > Central trend. The service efficiency shows a decline in different degrees, with a large gap between provinces. 2. Only Jiangsu province has an apparent positive policy effect among the first batch of pilot regions. After the policy implementation, the changing trends of the Anhui, Fujian and Qinghai provinces cannot reflect the effect of the policy. To improve the efficiency of medical and health institutions in China, this paper puts forward some suggestions in terms of strengthening the structural investment of medical resources in the central and western regions and promoting the implementation of a graded diagnosis and treatment system.This work was supported by a project grant from General Project of National Social Science Fundation (Grant No.20BJY076).a,b, Yufei Qiua, Sitong Jia, Jianwu Chenb, Lu Yuc, Shengnan Oud, Xiaoya XiedMingwei Xua Department of Safety Engineering, School of Safety Engineering,Beijing Institute of Petrochemical Technology, Beijing 102617, China, b China Academy of Safety Science and Technology Beijing 100083, China, c Department of Safety Engineering, School of Traffic and Transportation Engineering, Dalian Jiaotong University Dalian 116021, China, d School of Civil and Resource Engineering, University of Science and Technology Beijing 100083, China.Background: In modern workplaces, noise pollution has been identified as a significant risk factor that poses a threat to the safety productivity and workers\u2019 occupational health. However, the impact of sound level and frequency on workers\u2019 attention and behavior in confined spaces is not fully understood. Therefore, this study aimed to investigate the effects of sound level and frequency on attention concentration ability, reaction time, and discrimination time in a confined space environment.Subjects and Methods: A human experiment was conducted with 13 participants. The experiment design included three sound levels and three frequency levels . Participants were exposed to different sound levels and frequencies in a confined space to investigate the impact of sound level and frequency on their attention concentration ability, reaction time, and discrimination time.Results: The study results showed that sound level and frequency had different mechanisms of influence on attention. Sound level had a more significant impact on workers\u2019 attention concentrating ability, indicating that the greater the sound level, the less attention was paid to safety. On the other hand, frequency primarily affected attention concentration level, with intermediate frequency noise significantly reducing the attention concentration level. When the sound level was 70 dB or the frequency was 1000 Hz, the simple reaction time and discrimination time increased significantly, and the concentration ability was the weakest. When the sound level was 60 dB or the frequency was 100 Hz, the attention level of the subjects was the lowest.Conclusions: This study\u2019s findings demonstrate that noise pollution in confined spaces can have detrimental effects on workers\u2019 attention concentration, reaction time, and discrimination time. Sound level and frequency were found to have different impacts on attention, with sound level being more significant in reducing attention concentration ability. These findings highlight the need to control noise pollution in confined spaces and to consider both sound level and frequency when developing noise control strategies to enhance occupational safety and efficiency. Therefore, appropriate noise control measures must be implemented to minimize the risk of noise exposure and protect workers\u2019 health and well-being.This work was supported by a project grant from Beijing Municipal Commission of Education (Grant No. KM202310017002) and National Natural Science Foundation of China (Grant No. 5230041812).a, Farzaneh Haratyana, Fei JiangbQingzhao Lia School of Foreign Languages, Suzhou University, Suzhou, Anhui, 234000, China, b School of Information Engineering, Suzhou University, Suzhou, Anhui, 234000, China.Background: Emotional regulation refers to a psychological process in which individuals change the intensity, quality, and duration of emotions through self-regulation in an environment that stimulates emotions. Emotional regulation is closely related to nonverbal communication, as nonverbal communication is often the main way to express emotions. In nonverbal communication, individuals can convey their emotional state by adjusting their own facial expressions, gestures, and sounds, while also interpreting others\u2019 nonverbal signals to obtain information and infer others\u2019 emotional state. Both verbal and nonverbal communications are involved in the teaching and learning activities. Verbal behavior is the main channel through which teachers impart knowledge to students, while nonverbal behavior is the main channel through which teachers convey their emotions, simplify teaching instructions, activate the student\u2019s learning interest and enhance teaching effectiveness.Subjects and Methods: This paper reviewed the findings of twenty recently related research inside and outside Chinese contexts and discussed how they converged or diverged in their achieved results about this concept of nonverbal communication in pre covid and post covid era. This paper also included the way it has been defined, practiced, and evaluated considering various variables that interact and affect nonverbal communication.Results: The changes in emotional regulation and nonverbal communication pre covid and post covid are mainly reflected in the attitudes of positive expression, negative emotions and moderate expression. There are close links between the nonverbal signals and the emotional expressions, and the intention of the sender of the information can be revealed frequently from non-verbal cues. Both students and teachers can benefit from practicing nonverbal communication skills.Conclusions: The changes in emotional regulation in nonverbal communication before and after the epidemic reflect people\u2019s psychological state and coping strategies in the epidemic environment. In nonverbal communication, people can communicate and obtain information by adjusting their emotions, and they can also infer the emotional state of others by interpreting their nonverbal signals. This paper maintains how students\u2019 attention, initiative and participation beside other psychological mechanisms in education can be influenced and how to focus on emotional regulation and nonverbal communication strategies to promote both students and teachers\u2019 emotional health. Effective non-verbal communication skills have a positive effect on both teaching and learning. This paper is beneficial to teacher trainers to enhance the effectiveness of college English teaching.This work was supported by a project grant from Anhui Provincial Department of Education, (Grant No. 2020jyxm2196) and a project grant from Anhui University Humanities and Social Sciences Research Project (Grant No. SK2021A0714).a, Xiao Tanb, Siyang Yub, Xilong QubZhecong Wanga Software Academy, Changsha Commerce & Tourism College, Changsha, Hunan 410116, China, b School of Information Technology & Management, Hunan University of Finance and Economics, Changsha, Hunan 410205, China.Background: Environmental monitoring plays a crucial role in medical facilities, impacting patient outcomes and staff safety. Manual monitoring methods are time-consuming and prone to errors. However, with advancements in sensor technology, ZigBee communication protocols, and mobile devices, intelligent environmental monitoring systems offer efficient and accurate real-time monitoring. In hospitals, monitoring temperature, humidity, air quality, and other environmental factors is essential for maintaining a sterile and safe environment for both patients and healthcare providers. Traditional manual detection and recording methods are labor-intensive and error prone. Intelligent environmental monitoring systems, on the other hand, offer several benefits that can enhance the quality of care in medical facilities.Subjects and Methods: Wireless communication between sensing devices, using ZigBee technology, and a central monitoring system allows easy deployment and scalability. Sensing devices placed throughout the hospital monitor critical areas such as operating rooms, patient rooms, and laboratories. The data collected from these sensors transmits quickly to the central monitoring system, alerting healthcare providers if there are any deviations from the desired environmental conditions. The integration of mobile devices such as smartphones or tablets enables remote access to the monitoring system, facilitating real-time monitoring of different areas of the hospital. Healthcare providers can monitor environmental conditions, even when they are not physically present in the hospital, ensuring timely intervention if required.Results: Moreover, intelligent environmental monitoring systems have expanded beyond temperature and humidity control. They can also monitor gas levels, radiation, and dust particles to ensure a safe environment for patients and healthcare providers. Additionally, they can monitor power consumption, contributing to energy-efficient management in medical facilities. Considering the complex environment of hospital storage, we attach the monitoring system to a mobile tool (such as a mobile car), which can make the detection method of the entire system more flexible, with a wider detection radius, and enable the system to be used for temperature and humidity monitoring in these diverse environments.Conclusions: When ZigBee technology, sensing technology, and mobile devices are combined to form a temperature and humidity monitoring system, it has the advantages of low cost, rapid installation, and high availability compared to common solutions in the industry. As technology continues to advance, further research and development in environmental monitoring systems will lead to more effective applications in modern medical treatment.This research was supported by Scientific Research Key Project of Hunan Education Department[21A0592], Education Reform Project of Hunan Province[HNJG-2021-1378], Hunan Natural Science Foundation Project (2023)[Research on Resource Scheduling Strategy for Energy Efficiency Optimization in Mobile Cloud Computing].aQiang Zhoua School of Finance and Economics Management, Sichuan University of Arts and Sciences, Dazhou, 635002, China.Background: In the implementation process of the rural revitalization strategy in the Sichuan Shaanxi Revolutionary Old Area, due to the relative uncertainty of policy responses from multiple parties, this article takes the alleviation of psychological anxiety in the process of changing the livelihood of farmers in the revolutionary old area during the government governance process as one of the research subjects. In analyzing the effectiveness of the rural revitalization strategy with the participation of social capital, the strategic evolution game between the government, social capital, and farmers is taken as the research goal, Defining farmers in old areas as units that examine the effectiveness of social capital and government policies is in line with the implementation units and fields of the current rural revitalization strategy. Reflect the stability, continuity, and balance of interests of all parties in the long-term dynamic strategy process.Subjects and Methods: Evolutionary game theory was used to study the dynamic process of governance, select a mechanism with dynamic incentive factors, and combine the social capital participation in the process of rural revitalization with the measures taken by villagers to alleviate life anxiety and psychological counseling in the process of rural revitalization, reflecting the relative stability and long-term nature of the government decision-making process and the process of people\u2019s livelihood.Result: As the government actively promotes rural revitalization and the development of red tourism resources in revolutionary old areas, and improves the effectiveness of incentive subsidies, the probability of social capital and farmers choosing cooperation strategies in the short term increases. However, due to the long-term existence of subsidies, incentive subsidy policies can only stimulate cooperation between the two in a short period of time. In addition, with the increase in subsidy amounts, the convergence speed actively promoted by the government due to incentive subsidy expenditures has also slowed down. Similarly, numerical simulations can simulate the impact of punishment costs on the level of psychological anxiety during changes in social capital, farmer behavior, and livelihood status. Overall, in regulating non cooperative behavior between social capital and farmers, the increase in punishment costs is more effective than incentives, and all three are more sensitive to incentive returns. Thus, in the process of promoting rural revitalization policies, the anxiety state of farmers\u2019 livelihood changes caused by policy promotion has been effectively improved.Conclusion: The stability of the evolutionary game model established at the governance level of rural revitalization strategy will directly have a significant impact on the implementation of rural revitalization policies. And it plays a certain helping role in improving the livelihood status of regional farmers and alleviating psychological anxiety. Therefore, this article has certain theoretical innovation significance and practical value. The countermeasures derived from the tripartite evolutionary game model have certain guiding significance for policy and theoretical decision-making departments.a, Zitong Suna, Xiwen Xua, Ling Sub, Yuting Lia, Xiuran Wanga, Wei HuaMei Yanga College of Life Sciences, Jilin Agricultural University, Changchun, Jilin 130118, China, b Engineering Research Center of Edible and Medicinal Fungi Ministry of Education, Jilin Agricultural University, Changchun, Jilin 130118, ChinaObjective: enzymatic hydrolysis peptide of antler plate is an ossified substance formed in the spring of the second year after deer antler is cut off or sawed. Modern pharmacological research shows that anlter plate has many pharmacological activities. Protein and peptides account for about 40% of the total components of antler plate. They are rich in amino acids, including essential amino acids. According to the content and types of amino acids, it is speculated that the bioactive protein or polypeptide contained in the enzymatic hydrolysis peptide of antler plate of sika deer-red deer hybrid deer has immune activity. The active peptide is a protein peptide segment with biological function after protein is hydrolyzed by protease. The peptide segment not only has certain biological activity, but also retains its original biological activity.Patients and Methods: In this study, the enzymatic hydrolysis peptide of antler plate of sika deer-red deer hybrid was used as raw material. The enzymatic hydrolysis peptide of enzymatic hydrolysis peptide of antler plate was obtained by enzymatic hydrolysis technology, and the immune activity of the enzymatic hydrolysis peptide was evaluated by its influence on the immune function of mice. Firstly, the total protein was extracted from the enzymatic hydrolysis peptide of antler plate of sika deer-red deer hybrid deer by alkali extraction and acid precipitation, and the effects of several common proteases on the total proteolytic efficiency and immune activity of enzymatic hydrolysis peptide of antler plate were investigated, so as to obtain the enzymatic hydrolysis peptides with the best immune activity. The gastric administration doses of enzymatic hydrolysis peptides of mice in each group were 100\u2005mg/kg in low dose, 200\u2005mg/kg in medium dose and 400\u2005mg/kg in high dose respectively for 14 days. Then cyclophosphamide was used to induce mice to establish immunosuppressed mouse model. Finally, the changes of body weight, immune organ index, proliferation ability of mouse spleen lymphocytes and phagocytic activity of peritoneal macrophages were detected, and the changes of cytokine and immunoglobulin expression levels in serum were detected by ELISA sandwich method.Results: The Results showed that the proliferation ability of RAW264.7 macrophages treated with trypsin was the best, so trypsin was selected to hydrolyze the total protein of anlter plate. The enzymatic hydrolysis conditions were as follows: temperature 40\u2103, time 3h, E/S 3%, pH 7 and enzyme dosage 3000\u2005U/g. The immune activity experiment showed that compared with the model group, the experimental group could significantly increase the weight of mice, improve the index of immune organs, enhance the proliferation of spleen lymphocytes and the phagocytosis of peritoneal macrophages, and also improve the expression levels of serum cytokines and immunoglobulins .Conclusions: enzymatic hydrolysis peptide of antler plate has obvious immunoregulation effect on immunosuppressed mice, and effectively improves the suppressed humoral immune function of mice.This study was supported by Jilin Science and Technology Development Plan Project (Nos.20200404024YY), and Special Fund Project for Provincial Industrial Innovation in Jilin Province (Nos. 2018C048-4).a, Guoxia Hub, Shuling HecSuitai Suna College of Art of Guangxi Minzu Normal University, Chongzuo, Guangxi 532200, China, b College of Marxism of Guangxi Minzu Normal University, Chongzuo, Guangxi 532200, China, c Institute of Applied Technology of Honghe University, Honghe, Yunan 661199, China.Purpose: College students\u2019 mental health, aesthetic taste and aesthetic ability have been deeply concerned by all social strata in recent years. Therefore, the ultimate purpose of this study is to explore the necessity of carrying out aesthetic education in universities to alleviate college students\u2019 mental health problems and cultivate aesthetic values.Methods: By means of questionnaire survey and interview, the necessity of aesthetic education in alleviating the mental health problems and cultivating aesthetic values of college students of different majors, grades, genders and sources were investigated and analyzed.Results: The mental health index of male students and female students before and after aesthetic education from freshman to senior year were significantly different. The mental health indexes after aesthetic education were 97%, 94%, 90% and 86%, respectively, and the decline trend was slow. Science, engineering and sports students mostly considered beauty to be natural beauty, while music and art students, on the other hand, considered beauty to be exotic dresses or a fashion trend. The proportion of freshmen who considered beauty is natural beauty was the highest 85%, the proportion of junior college students who think beauty is fashion trend and exotic clothes is the same as that of sophomore college students, accounting for 56%. The proportion of male students and female students in the fourth grade of university who thought beauty as natural beauty was 32%, 31% respectively. The proportion of freshmen who considered beauty is natural beauty is the highest at 42%, the proportion of urban sophomores who prefer fashion trends is the highest at 44%, the proportion of urban juniors who think beauty is fashion trends is the highest at 48%, and the proportion of urban seniors who think beauty is physical beauty is the highest at 32%. Among parents of college students from different walks of life, 70.84% of the parents of farmers and 50.58% of the parents of workers think that college education is the main front and effective way to cultivate college students\u2019 aesthetic education. Teachers of different subjects in colleges and universities think that the average values of aesthetic education in colleges and universities are respectively 55.4%, 26.0%, 12.3% and 6.4%. Students of different grades participate in different activities in different numbers, types and ways. According to the average number of college students taking part in different practice channels, the number of students taking part in summer three trips to the countryside accounted for 18% at most, and the number of students visiting red bases accounted for 13.5% at least.Conclusion: It is necessary to carry out aesthetic education in colleges and universities to alleviate college students\u2019 psychological health and cultivate aesthetic values.This is the Class B Project of Undergraduate Teaching Reform Project of Guangxi Higher Education in 2021 \u201cThe Construction and Teaching Research of Red Resources in Left and right river area Region into the Courses of Art Major in Local Colleges and Universities\u201d (Project No.: 2021JGB378); 2022 School-level Curriculum Ideological and Political Teaching Team of Guangxi Normal University for Nationalities \u201cInheriting Classics: Ideological and Political Teaching Team of Chinese Painting Course\u201d (Project No.: KCSZJXTD202204); 2022 School-level Curriculum Ideological and Political Demonstration Course of Guangxi Normal University for Nationalities \u201cCreation of Chinese Landscape Painting\u201d (Project No.: KCSZSFKC202207) Phased results. The completion of this thesis is inseparable from the valuable suggestions and suggestions put forward by your colleagues. Thank you again for giving me a lot of encouragement and help. Recall the whole writing process of the thesis, although it is not easy, but let me get rid of impetuous, a lot of gains.a, Lili TangaAihui Jina Zhuhai College of Science and Technology, Zhuhai 519041, China.Background: Chinese culture, since ancient times, has been instrumental in nurturing the refinement, cognitive skills, and ethical virtues necessary for building and maintaining a healthy society, thus serving as the \u201cidentity card\u201d and spiritual glue of the nation. With the advancement and progress of society, propelled by modern science and technology, and the ongoing process of economic globalization, new cultural elements have emerged. These include network culture, information culture, competition culture, and leisure culture, which are increasingly diverse and prominent. In the current cultural milieu, university students not only engage in knowledge acquisition but are also exposed to a diverse range of cultures that affect their values, which may give rise to various psychological and cognitive issues. The psychological and value-oriented issues among university students caused by cultural problems have prompted widespread attention.Subjects and Methods: Private universities, as an essential constituent of universities, share a responsibility for imparting the core socialist values, promoting the excellent traditions of Chinese culture, guiding students\u2019 healthy psychological development and assume significant influence on education.Results: Exploring the convergence between ideological and political education and Liberal Arts Education in the context of contemporary healthy psychological culture can establish students\u2019 accurate worldview, life philosophy, and values, which can help in enhancing their overall psychological well-being.Conclusions: The significance of cultural psychology in achieving cultural inheritance, resisting the invasion of decadent culture, and establishing student beliefs is instrumental, especially in the context of cultural integration. Therefore, in the education and teaching of private universities, schools must prioritize a healthy psychological and cultural perspective and pay attention to the role of cultural psychology in the integration of Liberal Arts Education and ideological and political theory courses. This will enable schools to exploit their specific educational advantages, which will foster better development and progress of students in private universities.Supported by the 2020 research project of the \u201cThirteenth Five-Year Plan\u201d for Guangdong Province\u2019s Education Science / Office of the Leading Group for Guangdong Education Science Planning: \u201cIn-depth Research on the Integrated Development of Liberal Arts Education and Ideological and Political Education in Private Universities from the Perspective of Cultural Power\u201d. (Project No.: 2020JKDY056).aFuhong Guoa City Institute, Dalian University of Technology, Dalian 116600, China.Background: Consumer psychological anxiety is a negative emotion that occurs when there is a BTM cost in the P2P leasing market, resulting in a decrease in total consumer surplus. When perceived threats or risks of the elasticity suppliers and renters exceed their personal control, it leads to negative emotions such as unease, tension, and distress, resulting in psychological anxiety for both elasticity suppliers and renters. This is manifested as the concern for the new elasticity suppliers whether they should continue to rent out their unused products and the concern of renters whether they should rent products in the P2P leasing market. Although theoretically elastic suppliers can rent out their unused assets for free in the P2P rental market, in practice, there is at least some cost associated with providing a rentable product. The rise of the \u201csharing economy\u201d has been driven by a significant reduction in these costs, and the P2P rental market has brought an increase in consumer surplus and social welfare. However, in the long run, the cost of entering the market, or the BTM cost, has reduced the total consumer surplus in the P2P rental market. This paper analyzes the mechanism through which BTM costs affect consumer surplus in the P2P rental market and finds that they reduce the total consumer surplus, leading to a decrease in profits for elastic suppliers and renters, and causing them psychological anxiety about whether to exit the P2P rental market. Based on this, the paper proposes recommendations for reducing consumer anxiety and promoting the operation and development of the P2P rental market.Subjects and Methods: Firstly, this paper reviews the literature on P2P rental market, BTM costs and consumer psychological anxiety. Secondly, this paper compares short-term consumer surplus between the existence and absence of BTM costs in P2P rental market and draws conclusions. Thirdly, when BTM costs exist, this paper compares long-term and short-term consumer surplus in P2P rental market and draws relevant conclusions. The last part is the conclusion and inspiration of this paper.Results: This paper concludes through the comparative analysis of short-term and long-term consumer surplus in P2P rental market with and without BTM costs: BTM costs reduce total consumer surplus in P2P rental market and cause psychological anxiety for elastic suppliers and renters. Short-term consumer surplus is higher than long-term consumer surplus, and even when long-term consumer surplus reaches the lowest point, psychological anxiety for elastic suppliers and renters reaches its highest point, which leads to their unwillingness to participate in P2P rental market.Conclusions: Based on the analysis results, P2P rental platforms should reduce BTM costs, as much as possible in the long term. This can increase the income of elastic suppliers and renters, thereby reducing the psychological anxiety of both parties and lower psychological anxiety for elastic suppliers and attract more elastic suppliers who can offer more idle products in P2P rental market. There are two main ways to reduce BTM costs: one is for P2P rental platforms to find renters and achieve the best match between elastic suppliers and renters, while monitoring the entire process of product rental use, protecting the rights and interests of elastic suppliers, and reducing their psychological anxiety. The other is to achieve economies of scale and scope in P2P rental market, which can reduce unit cost for elastic suppliers and rental price for renters, and lower their psychological anxiety, thus increasing the willingness of elastic suppliers and renters to participate in P2P rental market.This work was supported by a project grant from the Funding Project for Teaching and Research of Liaoning Provincial Department of Education. (Grant No. LJKR0679) and Project funded by the Liaoning Provincial Social Science Fund (Grant No. L18BJY014).a, Jingyun Yub, Zhaoru Zhoub, Haotian Wangb, Shuo Hana, Hao Suna, Zhipeng Zhaoa, Pengda SunaSitong Zhoua Department of Gastrointestinal Nutrition and Hernia Surgery, The Second Hospital of Jilin University, Changchun, Jilin, China, b The School of Pharmaceutical Sciences, Jilin University, Changchun, Jilin, China.SZ and JY contributed equally to this work.Background: Increasing incidence of colon cancer, the role of Scutellaria barbata polysaccharides (SBP) in tumors has drawn widespread attention. In order to further investigate its mechanism of action in the treatment of colon cancer, this paper try to use network pharmacology approaches to predict its possible mechanism of action.Methods: The literature was reviewed to understand the active components of SBP; the Swisstarget database was used to obtain the potential targets of the active components of SBP; the GeneCards and DisGeNET databases were used to screen the disease-related targets of colon cancer, set the relevant parameters and summarize the disease targets, and finally the intersection of the potential targets of SBP and the disease targets was taken to plot the Venn. The STRING database was used to construct the target protein interaction (PPI) network to obtain the core target proteins; gene ontology (GO) analysis and Kyoto Encyclopedia of Genomes (KEGG) pathway enrichment analysis were performed on the potential genes, and the key signaling pathways of SBP in colon cancer were obtained by using the DAVID6. 8 online tool.Results: The results showed 12 monosaccharide components were obtained from some magazines and journals, such as Rhamnose, Fucose, Arabinose, Xylose and Mannose etal. The Swisstarget database records 23 potential targets of Scutellaria barbata polysaccharides (SBP), and there are 1391 colon cancer disease targets, which were summarized from two databases, GeneCards and DisGeNET. There were 8 intersecting targets of Scutellaria barbata polysaccharides and colon cancer, namely VEGFA, HSP90AA1, LGALS3, FGF2, CDK1, HPSE, LGALS4, and FOLH1. Enrichment analysis showed that MAPK signaling pathway, PI3K-Akt signaling pathway, and HIF-1 signaling pathway were the main affected pathways. We predict that the process of colon carcinogenesis may be regulated by acting on intersectional targets as well as signaling pathways to alleviate disease symptoms.Conclusions: Scutellaria barbata polysaccharides is a kind of polysaccharide formed by the compound of many monosaccharides. It can exert the mechanism of action for the treatment of colon cancer through multiple components with multiple targets and pathways.This work was supported by project grants from Natural Science Foundation of Jilin Province (Grant No.20200201014JC) and Finance Department Health Special Project of Jilin Province (Grant No. 3D5204921429).a, Zhiyao LiaXutao Zhenga China University of Mining and Technology (Beijing), Beijing 100083, China.Background: To investigate the dissemination effects and audience attitudes towards various types of epidemic prevention slogans, with the aim of better safeguarding the positive emotions of the public during public health emergencies.Subjects and Methods: In this study, the linguistic styles of epidemic prevention slogans were divided into serious, friendly, rude and other categories, and 831 epidemic prevention slogans were quantitatively analyzed. At the same time, 55 people were interviewed to study the influence of different linguistic styles of slogans on the attitudes of the audience. In particular, this paper focuses on the impact of rude slogans on the mood of the audience.Results: The study found that there were significant differences in linguistic styles among epidemic prevention slogans released in urban and rural areas, as well as those released by different regions or publishers. Even in the early stages of the pandemic, rude slogans were not the majority among epidemic prevention slogans. The center region has a larger percentage of crude slogans as compared to other areas. Villages have a larger percentage of crude slogans than towns do. The township (subdistrict office), public organizations, and village (neighborhood) committees are more likely to print rude and friendly slogans as compared to other levels of public management organizations. The severity of the pandemic, the publisher\u2019s understanding of the target audience, the publisher\u2019s role in epidemic prevention, and legal awareness were all factors that affected the content of the slogans. Different audience attitudes were observed towards various linguistic styles of the slogans. Slogans that can bring positive feelings to the audience are more likely to be observed by the audience. Serious and friendly slogans were more likely to receive positive evaluations and compliance. Although rude slogans could elicit some degree of compliance, they were not easily accepted by the audience and may even prompt negative emotions such as resistance, dissatisfaction, anger, fear, and other adverse responses. The reasons why rude style slogans are followed by some people may be related to the potential punishment of the publisher, the authority of public management organizations and the warning effect of such slogans.Conclusion: In terms of the dissemination effects of epidemic prevention slogans, public managers and researchers should not only focus on whether the public is complying with the epidemic prevention policies and following the requirements of the slogans, but also pay attention to the impact of epidemic prevention slogans on public emotions and psychology. During public health emergencies, public managers must pay close attention to emotional management, respect the emotions of audience, protect citizen privacy, and use more friendly slogans rather than crude ones.a, Wenjing DuanaXia Taoa Wuhan Institute of Technology, School of Marxism, Wuhan 430200, China.Background: The youth of today are the backbone of social development and the leaders of the progress of the times. In the context of the new era, the key to achieving comprehensive rural revitalization lies in education, and the key to education development lies in teachers, especially young teachers. Through research and studies, it is found that the phenomenon of rural young teachers\u2019 attrition is obvious, and teachers\u2019 mental health problems are prominent, especially young teachers in rural areas with lower economic development levels have relatively high psychological anxiety index. Therefore, it is urgent to provide high-quality education services in rural areas, strive to build an excellent teaching force, further narrow the gap between urban and rural education, alleviate teachers\u2019 psychological anxiety, and stabilize the development of rural basic education.Subjects and Methods: For rural schools in province H with different levels of economic development, 16 rural young teachers who joined in 2015 and had leaving experiences were selected through a targeted sampling method, and the texts of the interviewees were coded and analyzed using the rooted theory research method, and after open coding, spindle coding, and selective coding, a theoretical model was constructed for the influencing factors of rural young teachers\u2019 attrition and their psychological anxiety.Results: Through the analysis of the rooted theory research method, the four highest dimensional categories were finally summarized and concluded that the factors affecting rural young teachers\u2019 attrition and their psychological anxiety are mainly school factors, parental factors, social factors, and personal factors, and specific contents were collated in each factor, containing a total of 14 aspects.Conclusions: Based on the current situation of rural young teachers\u2019 attrition and their psychological anxiety, this study endeavors to improve teachers\u2019 psychological quality, enhance their sense of belonging and happiness at work, and devote themselves to education with full motivation from the perspective of paying attention to teachers\u2019 psychological health. Based on this, reducing rural young teachers\u2019 attrition rate and alleviating teachers\u2019 psychological anxiety are mainly based on improving school infrastructure, focusing on joint home-school education, accelerating rural economic development, and meeting career development needs, which have practical implications for the development of rural basic education.This research was supported by the open fund project of Hubei Teacher Education Research Center, a key research base of humanities and social sciences in Hubei universities in 2022, entitled \u201cResearch on the Influencing of Rural Teacher Loss and Psychological Anxiety: an Empirical Study based on Province H\u201d (Project No. jsjy202203).a, Naikao WangbLinwen Xiaoa School of Economics and Management, Nanning Normal University, Nanning, Guangxi 530001, China, b School of Journalism and Communication, Nanning Normal University, Nanning, Guangxi 530001, ChinaBackground: In traditional China, the gap between urban and rural areas is large, so is the psychological distance between urban and rural areas. There is a two-way stereotype between urban people and rural people. In the process of rapid urban-rural integration, they need to break the psychological barrier quickly. If this problem is not solved well, the social group will appear psychological sub-health state.Subjects and Methods: In recent years, China\u2019s urban-rural integration has accelerated. However, neither urban nor rural people showed any of these collective mental health problems. In order to find out how to adjust urban and rural psychological contradictions in the process of accelerated integration, the research group selected Gangwei Town, Longhai District, Zhangzhou City, Fujian Province, China, as the research object, and conducted research using the grounded theory research method.Results: The results show that: (1) In the process of urban-rural integration, the melting speed of urban-rural cultural and psychological boundary is greater than that of urban-rural material space boundary. (2) Short video plays an important role in psychological adjustment during the process of psychological boundary ablation. (3) In the creation, dissemination and consumption of short videos, urban people and rural people participate in the process of cultural production, forming a psychological adjustment mechanism of cultural communism and cultural sharing. (4) Under this psychological adjustment mechanism, the cultural boundary between urban and rural people is eliminated, and the psychological gap is crossed, and no mental health problems caused by the rapid integration of urban and rural areas appear.Conclusions: Short videos satisfy the psychological needs of mutual lookout between urban and rural areas, and content creators actively promote the cultural communization and sharing mechanism between urban and rural areas, avoiding the group mental health problems caused by the rapid integration of urban and rural areas. The Chinese government should pay full attention to the psychological adjustment role of short video and other new media in the process of urban-rural integration, guide people\u2019s new understanding, new attitude and new behavior of the new urban-rural relationship through new media, and then actively promote the rural revitalization and urban-rural development. This study is a case study, and this mechanism may be more complicated, which needs further discussion.This work was supported by a project grant from The 14th Five-Year Plan Education Project of Fujian Province, China \u201cResearch on the Training Mechanism of College Students\u2019 Short Video Content Entrepreneurial Talents\u201d(Grant No.FJKBK21-135).a,d, Yan Duana, Rubing Xiaa,d, Jinwei Lvc, Peng Zhanga, Zhizhong Shena,d, Yong Lua, Mingku Jue, Haoran Tenga, Yang HuangbHao Wua College of Humanities and Social Development, Nanjing Agricultural University, Jiangsu, Nanjing 210095, China, b School of Cultural Heritage and Information Management, Shanghai University, Shanghai 200444, China, c Institute of History, Jiangsu Academy of Social Sciences, Jiangsu, Nanjing 210004, China, d College of Agricultural Civilization, Grand Canal Cultural Belt Construction Research Institute, Jiangsu, Nanjing 210004 China, e School of History and Culture, Henan Normal University, Henan, Xinxiang, 453007, China.Background: The dietetic culture heritage of the Jiangsu section of the Grand Canal has a very important impact on people\u2019s physical and mental health. Diet is based on agriculture. In terms of traditional Chinese social form, China has always been an agricultural society. Agriculture is the main production sector of society, providing food services to the people, and the vast majority of social material wealth is provided by agriculture. Based on this natural ecological environment, the regional dietetic culture of the people in the Jiangsu section of the Grand Canal has been integrated into the cultural mechanisms of different cities in Jiangsu, with unique cultural symbolic significance and emotional memory. The resulting customs and habits show the local people\u2019s understanding of the nature of food. Along the Grand Canal, people\u2019s preferences for food taste, food material types and even cooking skills express the residents\u2019 preferences for food mental health, and the resulting ideological, emotional and economic factors, which are the living inheritors of the sustainable development of dietetic culture\u2019s dietetic culture heritage.Subjects and Methods: This paper takes the operation, service and management concepts of the inheritors of dietetic culture heritage as the research entry point, systematically combs the dietetic culture related heritage in the Intangible Cultural Heritage List of Jiangsu Province, combs the number of national level projects, interviews the inheritors of dietetic culture heritage, investigates their attitude towards the future development of dietetic culture heritage, and analyzes their psychological and external reasons for this attitude. At the same time, it combed the dietetic culture inheritance bases related to Grand Canal in Jiangsu Province, discussed the relationship between base construction and inheritance protection, and the resulting impact on the mental health of residents along the Grand Canal.Results: Through the above investigation and analysis, the development of dietetic culture heritage of Grand Canal in Jiangsu has a positive impact on the mental health of surrounding residents. We will find that a specific diet structure will produce a specific diet psychological structure, while the dietetic culture heritage of Grand Canal in Jiangsu has a long history, healthy diet, strong cultural genes, relatively perfect diet hygiene conditions and other characteristics. It is no longer just a simple satisfaction of appetite, but increasingly displays aesthetic psychological characteristics. At the same time, the dietetic culture heritage of Grand Canal in Jiangsu still has four problems: lack of strategic thinking and specific development goals, lack of talent training mechanism, imperfect support system, and unclear inheritance and protection standards. Although the existence of these problems does not have a great impact on the mental health of residents, in the long run, these problems will lead to negative effects on the dietetic culture heritage of Grand Canal in Jiangsu. In order to prevent these negative problems, this paper puts forward some suggestions, such as formulating comprehensive strategic goals, strengthening the psychological health intervention of inheritors, improving food hygiene policy support, highlighting the development of key dietetic culture heritage, strengthening academic support of universities, so that the dietetic culture heritage of Grand Canal in Jiangsu can develop healthily and orderly, and continue to adhere to the principle of the unity of truth and innovation in the process of inheritance, And incorporate the concepts of food tradition, food hygiene, and food innovation.Conclusions: The formation of dietetic culture heritage in the Jiangsu section of the Grand Canal is closely related to the mental health of residents along the Grand Canal. What to eat is not only a phenomenon, but also a psychological behavior of people, which is inseparable from the psychological factors behind it. Therefore, we adhere to the principle that the dietetic culture heritage of Grand Canal in Jiangsu should be global, national, scientific and historic. Only in this way can the dietetic culture heritage of Grand Canal in Jiangsu maintain its vitality in the new historical period, thus having a positive impact on the residents along the Grand Canal in its development process.This work was supported by a project grant from Grand Canal Cultural Belt Construction Research Institute (Jiangsu) think tank special research project \u201cResearch on Agricultural civilization resources and its Exploitation and utilization in Grand Canal\u201d (DYH19ZXA1). Nanjing Agricultural University Central University operating funds project \u201cInvestigation and research on the Diet Cultural Heritage in the Grand Canal coastal area of Jiangsu Province\u201d (SKYC2020008). Key project of Sichuan Cuisine Development Research Center, Philosophy and Social Science Key Research Base of Sichuan Education Department \u201dStudy on Conservation of Jiangsu Traditional Diet Cultural Heritage Resources\u201d(CC18W01)a, Ziyang ZhouaJianhua Zhua School of Economics and Finance, Zhanjiang University of Science and Technology, Zhanjiang, Guangdong 524094, China.Background: to summarize the effects of psychological anxiety under the intensity of environmental regulation on foreign direct investment FDI and the technological complexity of Chinese exports, and to analyze the regularity of such effects, in order to improve the technical complexity of China\u2019s export products, we can alleviate the psychological anxiety caused by environmental regulation, improve the psychological expectation of FDI, optimize the psychological account and investment portfolio.Subjects and Methods: Based on Chinese provincial panel data from 2010 to 2019, the GMM model was used to examine the relationship between export technology complexity, foreign direct investment anxiety and environmental regulation intensity, the degree of psychological anxiety was quantified by the size of the foreign direct investment, and the panel threshold model was used to examine the relationship between the export technological complexity and the foreign direct investment under different environmental regulatory intensities, and the foreign direct investment characteristics of export technological complexity and the variation of psychological anxiety under different environmental regulatory intensities.Results: (1)environmental regulation had a significant positive effect on the psychological anxiety of FDI. Different environmental control intensity will lead to \u201cPollution halo\u201d and \u201cPollution shelter\u201d, but it will not change the psychological goal and investment direction of FDI. (2) there is a U-shaped relationship between environmental regulation and the increasing complexity of export technology. The increased complexity of exporting technology depends on the sum of the \u201cCost-offsetting\u201d and \u201cInnovation-offsetting\u201d effects, as well as the degree of psychological anxiety of the foreign direct investment. (3)the psychological anxiety of the foreign direct investment has a significant effect on the increase of export technological complexity. With the increase of environmental regulation, the complexity of FDI and export technology shows the \u201cN\u201d-type double threshold characteristics affected by investment psychological anxiety. (4) while foreign direct investment are affected by the psychological anxieties arising from the strengthening of environmental regulations, and the complexity of exporting technologies is indirectly affected through the effective interaction of environmental regulations, the intensity of environmental regulations must be moderate, can only play a catalytic role in a certain range.Conclusions: under the background of strengthening environmental supervision, the psychological anxiety of FDI will increase, and it will affect the technological complexity of export products, moreover, there is a significant positive effect between the intensity of environmental regulation, the degree of psychological anxiety of FDI and the technological complexity of export products, it is necessary to stabilize investment expectations for FDI, to control foreign direct investment anxiety and to increase the technological complexity of Chinese exports.The authors acknowledge support from Major Program of National Social Science Foundation of China [19XMZ089].a,b, Yi Wangc, Youyang Youd, Yufei Hed, Yangyu Oud, Qiuyue ZoudDonghua Zhanga School of Economics, Yunnan University of Finance and Economics, Kunming 650221, China, b School of Economics and Management, Dali University, Dali, 671003, China, c School of Logistics and Management Engineering, Yunnan University of Finance and Economics, Kunming 650221, China, d International Business School, Yunnan University of Finance and Economics, Kunming 650221, China.Background: As an important part of our life, happiness has become an important indicator to measure a person\u2019s quality of life, which helps to enhance personal and physical health, increase social stability, and promote personal and social development. People with high levels of well-being tend to be more able to experience positive emotions, such as optimism, self-confidence, satisfaction, happiness, etc., and are also more likely to cope with negative emotions and stress in life. Mental health can improve the quality of life and happiness of individuals, promote physical health, and also contribute to social stability and development. Among the many factors that affect residents\u2019 sense of well-being and happiness index, the impact of urban innovation level cannot be ignored. As a key path to improve the city\u2019s happiness index and residents\u2019 sense of well-being, technological progress has become a hot spot in academic research.Subjects and Methods: This paper takes the Yangtze River Delta urban agglomeration as the research object, and explores the innovation efficiency of the Yangtze River Delta urban agglomeration and its influencing factors by constructing a three-stage DEA model and a K-means cluster analysis model. The advantages of using the three-stage DEA model to measure the innovation efficiency of the Yangtze River Delta urban agglomeration lie in the following aspects: First, the weights of input variables and output variables are generated by mathematical models through data, and do not need to be set in advance, which reduces the error of subjective weight setting; The second and third stages of DEA eliminate the influence of environmental variables and random noise in the second stage, making the results more accurate. K-means clustering further expands the research of this paper.Results: The research found that: (1) After excluding environmental factors and random factors, the innovation efficiency of cities in the Yangtze River Delta urban agglomeration has been significantly improved; (2) Urban innovation efficiency is affected by the level of economic development, the degree of advanced industrial structure, government support, and the intensity of innovative human capital. (3) The innovation efficiency level of the Yangtze River Delta urban agglomeration can be roughly divided into innovation lagging type, innovation development type and innovation leading type.Conclusions: This study has important guiding significance for improving the innovation efficiency of urban agglomerations and enhancing the mental health and happiness of residents.a, Songyan ZhangaYijie Tanga School of Economics and Management, Zhejiang University of Science and Technology, Hangzhou, Zhejiang 310000, China.Background: Healthy mental state needs to be based on good material conditions. The economic level and material conditions in rural areas are lower than those in urban areas, which may lead to adverse development of rural household mental health. As one of the important factors to promote regional economic development, financial model can affect the mental health of farmers by changing material conditions. Therefore, the innovation and development level of financial model deserve high attention. At present, there are some financial problems such as brain drain, low financing demand, few mortgage loans, poor infrastructure, imperfect credit investigation system and diversified demand in the process of rural revitalization in Zhejiang Province. In rural areas with low economic level, there are some mental health problems such as spiritual poverty, lack of confidence, lack of motivation for poverty alleviation and incorrect concept of development. This paper aims to study the operation mechanism of innovative financial model in rural areas of Zhejiang Province and its impact on farmers\u2019 mental health, and put forward relevant suggestions for promoting rural revitalization, sustainable development of agricultural health and cultivation of farmers\u2019 mental health in Zhejiang Province.Subjects and Methods: The innovative financial model in rural areas of Zhejiang Province is selected as the research object. First, look up and read a large number of case materials, and have an in-depth understanding of the rural revitalization strategy, the concept of financial model, the situation of rural revitalization in Zhejiang Province and the mental health status of rural households. Second, the paper investigates the innovative financial models generated in the process of rural revitalization in Zhejiang Province and makes a preliminary analysis. Third, select influential and representative innovation models such as \u201cinsurance + futures\u201d model, supply chain finance model, \u201cclean energy + green building\u201d model as the main research object. This paper analyzes how different financial models support rural revitalization and affect the mental health status of farmers, and obtains the operating mechanism, key content and main impact from actual cases.Results: The three innovative financial models have a good effect on the development of financial level in rural areas, effectively solve the financial problems and farmers\u2019 mental health problems in rural areas of Zhejiang Province, and significantly improve the economic level, material conditions and farmers\u2019 mental health degree in rural areas.Conclusions: \u201cInsurance + futures\u201d mode can affect the psychology of farmers and promote the development of their mental health by improving their material conditions. Supply chain finance model plays a significant role in solving the psychological poverty problem of farmers. The model of \u201cclean energy + green building\u201d can promote farmers to shape the concept of sustainable development and form healthy psychology.This research was supported by a project grant from National College Student Innovation and Entrepreneurship Training Program.a,b, Qing ZhangcWenjun Zhanga School of Marxism, Chongqing Technology and Business University, Chongqing, China, b People\u2019s Government of Oitak Town, Aketao County, Xinjiang, China, c Primary School of Xinli Town, Zhongxian County,Chongqing, China.Background: This paper aims to investigate the current situation and influencing factors of Chinese college students\u2019 psychological Sense of Gain in the process of Ideological and Theoretical Courses, so as to provide reference for the implementation of curriculum teaching reform for China and other countries.Subjects and Methods: This paper uses the \u201csurvey method\u201d to conduct the relevant research, and uses SPSS software to sort out the questionnaire data, and adopted descriptive statistics and correlation analysis to carry out empirical analysis of the status quo and influencing factors of the Sense of Gain of more than 800 Chinese college students.Results: From the investigation, the psychological Sense of Gain of Chinese college students from Ideological and Theoretical Courses is between \u201caverage\u201d and \u201crelatively strong\u201d, which is not strong enough. From the viewpoint of the factors influencing students\u2019 learning psychology in the Ideological and Theoretical Courses, the \u201cSense of Gain\u201d is mainly influenced by the learning psychological stress and learning participation, and the teaching objectives, contents and methods, teachers\u2019 emotional care and affinity also has a relatively influence. Moreover, the students\u2019 learning environment also has some influence on learning psychology in Ideological and Theoretical Courses.Conclusions: In view of the current situation of college students\u2019 psychological Sense of Gain in Ideological and Theoretical Courses and the existence of these influencing factors. First of all, Ideological and Theoretical Courses teachers and other course teachers need to increase the teaching affinity between teachers and students in the Ideological and Theoretical Courses, close the psychological distance between teaching and students, ease students\u2019 negative emotion. Second, teachers need consider the learning psychology needs of college students when formulating the objectives, content and methods, reduce students\u2019 psychological stress of learning. Third, teachers need give college students enough emotional care in the course to create a heart warming study environment, so that to inspire college students\u2019 produce positive learning motivation, so as to stabilize their will to learn. Those methods could promote the \u201cemotional resonance\u201d and \u201cpsychological integration\u201d between teachers and students, making college students feel the positive emotional and psychological impact in course. Moreover, it isn\u2019t only helps college student continuously increase the knowledge in the learning process,but also achieves the purpose of further enhancing college students\u2019 psychological Sense of Gain in Ideological and Theoretical Courses.a,b, Haijian HucChang Yua School of Music, Guangdong Polytechnic Normal University, Guangzhou 510665, Guangdong, China, b School of Education, City University of Macau, Macau 999078, China, c School of Marxism, Guangdong Polytechnic of Science and Technology, Zhuhai 510640, Guangdong, China.Background: Dance education in China has experienced new development since the turn of the century, and the evaluation of the effectiveness of dance teaching in colleges and universities has expanded after the \u201cOverall Plan for Deepening Educational Evaluation Reform in the New Era\u201d was issued by the State Council. During the process of teaching dance, it is essential to effectively understand students\u2019 psychological response to dance and the positive psychological effects of learning dance. It is important to cultivate self-awareness, self-control, self-efficacy, and adaptive thinking in students, which will help them handle challenges and stress in learning, achieve higher quality learning outcomes, and increase satisfaction with their dance education. Such psychological qualities are also integral to the development of a student\u2019s dance performance, and can greatly enhance the effectiveness of dance teaching.Subjects and Methods: Based on the theory of the 21st Century 5C Key Competencies Model and the maturity scale of domestic classroom teaching effectiveness, starting in2020 this study adapted and verified the 5C key competencies and dance teaching effectiveness scale specifically for college dance majors. Descriptive, correlation, and regression analyses were used to analyze 634 valid questionnaires from Guangdong universities and explore the correlation between 5C key competencies and the effectiveness of dance teaching in universities. Thus, this study explores the path from the 5C key competencies to dance psychology to ensure the teaching effectiveness of \u201cHeart-Dance in Harmony.\u201dResults: The results of data analysis showed a significant correlation between the 5C key competencies and the effectiveness of dance teaching in colleges; the 5C key competencies had predictive power for the effectiveness of college dance teaching.Conclusions: Dance education has a positive impact on reducing students\u2019 stress and negative emotions from multiple aspects. In dance teaching, students can cultivate their understanding and appreciation of culture, which helps them feel a sense of self-identity and belonging in dance while enhancing their cultural confidence. Improving critical thinking skills can reduce loneliness and self-doubt, enabling students to face challenges and stress more confidently. Developing innovative skills can enhance students\u2019 dance thinking ability and creative ability, increase self-efficacy and belief. In collective teaching and training, effective communication and cooperation can build stronger and healthier interpersonal relationships, fostering students\u2019 cooperation spirit, trust, sharing, and sense of responsibility. the 5C key competencies are bestowed upon educational and psychological research, enabling students to deal with stress, alleviate pressure, and promote their mental and physical health more effectively. This study aimed to explore the effectiveness of university dance education in light of the 5C key competencies. It adhered to the principles of combining scientificity and practicality in education, focusing on positive psychological effects. In this modern age, university educators must encourage the physical and mental development of their students in line with the 5C standards while also possessing the 5C key competencies themselves. Through focused efforts, they can enhance the reach, depth, and orientation of dance instruction within university classrooms. A key aspect of this endeavor is the exploration of individual potential and strengths. This involves honing the creativity, communication, cooperation, critical thinking, and cultural awareness of students to aid in their attainment of success and personal fulfillment.This work was supported by a project grant from 2022 Annual Project of the \u201c14th Five-Year Plan\u201d for the Development of Philosophy and Social Sciences in Guangzhou; \u201cResearch on developing Guangzhou as a model city for educational reform and development in the Guangdong-Hong Kong-Macao Greater Bay Area: from the perspective of aesthetic education empowering a humanistic Bay Area development\u201d (Project grant No.2022GZGJ289).a, Qiong WangaAizhong Wanga College of Tourism, Chongqing University of Arts and Sciences, Chongqing 402160, China.Background: Under the background of all-for-one tourism, the integration of fruit tourism is becoming an important driving force for the development of rural tourism. This paper studies the consumer psychological needs and consumption behavior of rural tourism consumers in Wulong District, Chongqing municipality, analyzes the problems existing in the integrated development model of fruit tourism in Wulong District and the integrated development of fruit tourism in the whole district, and puts forward targeted countermeasures to provide a basis for policy formulation and long-term planning of the government and rural tourism enterprises.Subjects and Methods: Based on the theory of consumer behavior, this paper takes consumer behavior and consumer psychology research as the breakthrough, adopts the methods of stratified sampling and random sampling, divides the tourist population into existing consumers and potential consumers, selects several typical rural tourism scenic spots, important fruit production areas, leisure picking intensive areas as the research area, and investigates the demographic characteristics of tourists, the characteristics of tourists\u2019 consumption behavior, the psychological characteristics of tourists, and the development status, mode and problems of fruit tourism. A total of 1,000 questionnaires were distributed, and 988 were recovered, with a recovery rate of 98.8%, of which 926 were valid. After the survey, the data were statistically analyzed using SPSS20.0 software.Results: Relaxation, leisure and entertainment, psychological anxiety, melancholy getting rid of, emotional regulation, nostalgia, perception and show-off, personality traits, etc. have become the main motivations for people to choose fruit tourism. Among them, relaxation, leisure and entertainment are the traditional influencing factors of rural tourism development, and the importance of nostalgia, personality traits and psychological anxiety in the integration of fruit tourism is becoming more and more prominent. The survey results of tourist satisfaction show that there is a serious phenomenon of psychological homogenization and inferiority among tourists caused by the lack of fruit tourism products and projects is serious, and the lag of public service facilities, the lack of human resources, and the lack of integration mechanism aggravate tourists\u2019 sense of disappointment and psychological identity. According to the psychological characteristics and behavioral habits of tourism consumers, the integrated development model of fruit tourism in Wulong District is divided into government intervention type, collective loose type and peasant household freedom type.Conclusions: Under the background of all-for-one tourism, the consumer factors of the integrated development of fruit tourism in Wulong District should not only consider the consumption needs of traditional tourists such as relaxation and leisure, but also pay attention to psychological motivations such as psychological anxiety, depression and desolation, emotional regulation, nostalgia, personality traits and perception of show-off. Relevant parties can regulate and control by studying the actual needs of tourism consumers, tapping regional advantages and characteristics, optimizing public infrastructure construction, and building an innovative mechanism for the linkage development of fruit tourism.This work was supported by the Humanities and Social Sciences Project of the Ministry of Education\u201c Research on the Global Development Mode and Realization Mechanism of Non-Optimal Tourism District in Wuling Mountain Area under the Strategy of Rural Revitalization\u201d (19YJC630161)a, Lu Zhanga, Qichao Maoa, Miaoyu WangaXingxiang Xinga Shaoxing Central Blood Station, Shaoxing City 312000, China.Background: To understand and evaluate the detection efficacy of different testing strategies for transfusion-transmissible infections markers in blood donations, to choose appropriate testing strategies, and to effectively prevent transfusion-transmitted infections.Subjects and Methods: The detection results of transfusion-transmissible infections markers in 214,474 blood donation samples collected between 2019 and 2022 were retrospectively analyzed and compared using three testing strategies based on relevant specifications.Results: The total nonconformity rate of blood tests under testing strategy A was 1.25%, and the nonconformity rates of ALT, HBsAg, Anti-HCV, Anti-HIV, Anti-TP, HBV-DNA, HCV-RNA, and HIV-RNA were 0.42%, 0.17%, 0.15%, 0.08%, 0.18%, 0.19%, 0.01%, and 0.01%, respectively, indicating a relatively low level of nonconformity. Among 17 confirmed HIV-infected donors, NAT detected 1 case first. The consistency rates of positive results for HBV, HCV, and HIV infection-related markers were 16.53%, 27.09%, and 20.43% under testing strategies A, B, and C, respectively. The total nonconformity rates of HBV, HCV, and HIV infection-related markers were 0.52%, 0.40%, and 0.39%, respectively, with statistically significant differences in nonconformity rates between HBV and HIV infection-related markers. Compared with testing strategy A, the relative detection rates of HBV, HCV, and HIV infection-related markers were 77.69% and 76.06% under testing strategies B and C, respectively. Testing strategy B detected 247 fewer cases compared to strategy A, with 246 fewer cases of HBV infection, no difference in HCV infection, and 1 fewer case of HIV infection. On the other hand, testing strategy C detected 265 fewer cases compared to strategy A, with 113 fewer cases of HBV infection, 46 fewer cases of HCV infection, and 106 fewer cases of HIV infection.Conclusions: Testing strategies with more comprehensive detection items ensure a higher level of blood safety. Multiple testing methods with different types of markers are necessary in practice. Testing strategies with fewer detection items need to be cautiously applied. NAT is essential for blood screening, and the combination of multiple testing methods can improve detection rates.We would like to express our gratitude to Mr. Sang Liyong, Director of Shaoxing Central Blood Station, and Mr. Fu Liqiang, Deputy Director, for their valuable guidance, help, and support during this study.aZhiying Liua Jiang Su Urban and Construction Vocational College, Changzhou city, Jiangsu Province 213000, China.Background: According to the research report of China Academy of Fiscal Science on the labor cost of China labor market, in the first half of 2018-2021, the average monthly wage of sample enterprises increased from 4,182 yuan to 5,367 yuan, with an average increase of 9.44%, especially in the first half of 2021, the average monthly wage increased by 12.63%. Enterprises are facing the pressure of rising costs, and job seekers are facing a state of job anxiety, how to solve the adverse effects and provide a positive signal for job seekers is the focus of this paper. Under the difficulty of rising labor costs, enterprises have psychological anxiety; job seekers face the increasing problems of rising living and housing costs. If the psychological anxiety problem is not paid attention to, and cannot be alleviated, it will develop into anxiety disorders, which may lead to changes in people\u2019s body, and cause social problems.The accurate distribution and analysis of labor cost realize reasonable control and provides a feasible path for enterprises.Subjects and Methods: This paper studies the multi-level analysis of labor cost difference in standard cost method; In the paper the comparative analysis and case analysis are used. In the article a manufacturing company is chosen as a typical case.Results: The labor cost problem needs the joint efforts of internal and external parties, such as external policy support, but it is also very important for enterprises to adopt appropriate cost methods. At present, there are two systems for the treatment of labor costs, which are the actual cost allocation method based on working hours and the standard cost method based on standards. Both methods have their shortcomings.Conclusion: The key to the traditional standard based accounting and distribution method lies in the determination of standard working hours and wage rate standards. Besides the strong subjectivity in the formulation of standards, the reference factors are single and the labor level and the nature of jobs are not considered, which is also a major problem. The multi-level analysis of standard cost method proposed in this paper ensures the stability and systematic of cost indicators. This method can explain the causes of differences in detail and provide data support for later cost control and provide positive signal and relief the mental pressure relative to labor.a, Qinhai MaaYing Zhaoa School of Business Administration, Northeastern University, Shenyang 110819, China.Background: This research aims to investigate the impact of brand logo change on consumers\u2019 emotion regulation by exploring the effects of logo design characteristic changes. Enterprises often modify their logos to maintain their brand image, which requires continuous planning and adaptation to consumers\u2019 emotion regulation. Therefore, brands aim to keep up with the times and maintain a positive image by redesigning their logos in ways that satisfy consumers\u2019 emotional needs. Such needs include familiarity for loyal customers, meaning similarity with the old logo for the target audience, and the ability to evoke positive affect and good surprise. Consumers\u2019 emotional needs are critical for brand logo changes to be effective, as they influence how consumers respond to and engage with logos.Subjects and Methods: Our research involves conducting empirical experiments to investigate the relationship between logo design characteristics and consumer responses. Firstly, we identified eight distinct logo design characteristics. Secondly, we identified four different types of consumer responses to logo changes. Thirdly, we identified four underlying design dimensions of logo changes, which are natural, harmonious, elaborate, and integral, and four response dimensions. Finally, we conducted an empirical analysis of 100 logos to identify those that meet three different strategic objectives.Results: Our empirical research has led us to propose design guidelines for logo changes that take into account consumers\u2019 emotion regulation. Our analysis revealed that for minor logo changes in a mature market, the change should be medium in terms of naturalness and elaboration, low in terms of harmony, and high in terms of integrity. Conversely, major logo changes in a mature market should involve a high level of natural change transitioning to medium, a positive and substantial change in harmony, a low to medium level of elaboration, and a negative and low change in integrity. For logo changes in a young market, the guidelines suggest a low to medium level of natural change, a positive and substantial change in harmony, a low to medium level of elaboration, and a negative and low change in integrity.Conclusions: Our findings indicate that any change in brand logos can have a significant impact on consumers, highlighting the importance of catering to their emotion regulation. The design guidelines for logo changes provide marketing managers with a reliable theoretical basis for minimizing or avoiding potentially negative effects, such as reduced market competitiveness, increased costs, or the risk of losing brand assets. Our research contributes to the design guidelines of brand logo change in several ways. First, it offers a new perspective on the relationship between a series of design characteristics of brand logos and their impact on consumers\u2019 response, which is closely linked to their emotion regulation. Second, it proposes design guidelines for logo changes with respect to three different strategic objectives. Third, we provide purely illustrative recommendations for different types of logo changes, taking into account the impact on consumers\u2019 emotion regulation.a, Hongmei Lib, Lizhang DongbYifan Wanga School of Education, Baoshan University, Yunnan 678000, China, b School of Psychology and Cognitive Science, East China Normal University, Shanghai 200062, China.Background: Since the start of the epidemic, people across the country have experienced a \u201clockdown period\u201d in early 2020, when all places are closed down and travel restricted, and a \u201cplateau period\u201d when the epidemic is relatively stable after the epidemic is brought under control and the lockdown is lifted. The plateau period is a period of continuous response, reflection and adjustment to the epidemic situation. It is of great value and significance to explore the mental health status of college students during the plateau period, which can provide a new direction of thinking for the subsequent mental health education of college students. Depression is a condition to be concerned about; Psychological capital is an effective mediating variable of the psychological stress response of college students under the epidemic. For the mental health education of colleges and universities, it is helpful to reduce the impact of the major epidemic on the mental health of college students, promote the self-growth of college students, and promote the scientific psychological education model of colleges and universities. The impact of major epidemic on the psychological capital of Chinese college students has both advantages and disadvantages Positive environment and support resources such as effective prevention and control of the government, concerted efforts of the people and family companionship are conducive to the growth of optimism and hope factors of psychological capital. At the same time, the major epidemic has a negative impact on the self-efficacy and psychological resilience of college students with little stress experience, weak personality foundation, high psychological pressure and little social support. In order to explore the influence of college students\u2019 risk perception level on their depressive state and the protective role of psychological capital in the stable period of the epidemic, this study investigated freshmen and seniors of Baoshan University in Yunnan Province.Subjects and Methods: Totally 5138 college students were surveyed using the COVID-19 Risk Perception Scale (PRCPS), Depression Angst Stress Scale (DASS-21) and Compound PsyCap Scale (CPC-12)Results: (1) Risk perception positively predicts depression; (2) Hope, efficacy and optimism in psychological capital can negatively predict depression; (3) The efficacy dimension of psychological capital moderates the relationship between risk perception and depressive state, that is, the predictive power of risk perception on depressive state decreases with the increase of efficacy.Conclusion: High risk perception tends to lead to depression in college students, while psychological capital can reduce the occurrence of depression, and the efficacy dimension of psychological capital plays a protective role in the relationship between risk perception and depression.a, Aihong WangaDan Longa School of Design and Art, Jingdezhen Ceramic University, Jingdezhen 333000, China.Background: \u201cIt is one of the important varieties of glaze decoration of traditional Chinese ceramics, and is an artistic expression with ceramics as the carrier. The development of pastel has a certain transitional period. This paper studies the beauty of ceramic pastel decoration in the three Qing dynasties from the perspective of \u201cpsychological needs\u201d and explores the role of its \u201cunique\u201d painting language in psychological healing. The purpose of this study is to examine the psychological development of the human psyche and the psychological role of aesthetics.Subjects and Methods: Using Maslow\u2019s Theory of Needs as a theoretical guide and a combination of qualitative and quantitative and comparative research methods, the study aims to analyze the role and healing of the \u201caesthetic expression\u201d of the painting language of pastel decoration in the Qing and Third Dynasties on mental health.Results: The analysis focuses on the meaning of the lines, composition and craftsmanship in relation to psychological needs and psychological health, and the interrelationship between the \u201cartistic characteristics\u201d and \u201cpsychological needs\u201d of Qing Dynasty pastels. The analysis shows that the Qing Dynasty pastel decorations were effective in relieving people\u2019s stress and anxiety at the level of \u201cpractical needs\u201d, in healing people\u2019s aesthetic psychology at the level of \u201caesthetic needs\u201d, and in relieving people\u2019s negative emotions at the level of \u201cvalue needs\u201d.Conclusions: From this, it is concluded that the pastel decoration of the Qing Dynasty has a unique aesthetic of art, both psychological regulation and compensatory dynamic function, but also can make the artistic literacy and artistic inculcation of people to facilitate the maintenance of psychological health, art from life and above life, so that art into real life, so that people maintain a positive and healthy psychological needs of the development of the situation is particularly necessary.This research was supported by the project.a, Xiaoshu Lib, Ruhaizin Sulaimana, Khairul Manami Kamarudina, Rosalam Che MeaKang Jia Faculty of Design and Architecture, Universiti Putra Malaysia, Serdang, 43400, Malaysia, b School of art & design, Zhengzhou University of Aeronautics, Zhengzhou, 450046, China.Objective: Maintaining a healthy lifestyle plays a vital role in personal health and social development. However, in reality, many people have various problems maintaining healthy behaviors and are unable to maintain a healthy lifestyle. Most of the existing healthy lifestyle-related products on the market are designed based on the principle of persuasion, and intervene in behavior through various persuasive strategies, so as to achieve the purpose of changing behavior. In order to provide designers and researchers with more effective design solutions in product design in the future, this study systematically analyzes and gives an objective assessment of the persuasive principles and strategies used in product persuasive design.Methods: Through the method of systematic literature review, search the persuasion technology and application of persuasion strategies in healthy life and the Fogg behavior model (FBM) from the two search engines of Scopus and Connected Paper, then strictly follow the PRISMA flow chart to provide relevant screening and evaluation according to the requirements of eligibility, inclusion or exclusion of articles, 23 eligible articles were finally selected for systematic analysis.Results: This study found that the Fogg Behavior Model and persuasive strategy used in the existing products can effectively promote the formation of healthy behavior and improve people\u2019s healthy lifestyle. In addition, the effectiveness of persuasive technology will also be affected by a variety of other factors, such as the influencing factors of target behavior, social environment, intervention stage of persuasive strategy, intervention duration, etc. In order to improve the effectiveness of products, these factors should be considered by researchers and designers.Conclusions: The systematic literature review provides an important theoretical basis for designers and researchers in the process of product design related to healthy lifestyle through the study of persuasive principles, persuasive strategies and Fogg Behavior Model. This study emphasizes the importance of persuasive technology and design in the process of healthy lifestyle intervention and summarizes the advantages of persuasive design from four aspects: orientation, friendliness, interactivity and ethics.a, Haiju Liub, Chunsheng LiaXiaolei Rena Urology Department, Affiliated Hospital of Chifeng University, Institute of Urology, Chifeng University 024000 Chifeng, China, b Cancer Screening Department, Chifeng Cancer Hospital, 024000 Chifeng, China.XR and HL contributed equally to this study.Background: To evaluate the safety and efficacy of 980\u2005nm diode laser enucleation for treatment of non-Muscle-invasive bladder cancer.Subjects and Methods: The data of the patients with non\u2013muscle-invasive bladder cancer treated by either 980\u2005nm diode laser enucleation (n=56) or conventional transurethral resection of bladder tumor (n=52) were analyzed retrospectively. The preoperative characteristics and intraoperative complications were compared in the 2 groups.Results: No significant differences in the sex, age, mean tumor number, mean tumor max. size, tumor multiplicity, tumor location, tumor stage, and recurrence risk of the 2 groups were observed. All patients accepted the successful 980\u2005nm diode laser enucleation or TURBT, respectively. No obturator nerve reflex and bladder perforation occurred during surgery in the 980\u2005nm diode laser group. However, 11 patients in the conventional transurethral resection of bladder tumor group encountered obturator nerve reflex, and 2 of them encountered bladder perforation. There were no significant differences between the 2 groups in transfusion rate. Patients in the 980\u2005nm diode laser group had shorter the mean duration time of the operation, duration postoperative continuous bladder irrigation time, and catheterization time than that in the conventional transurethral resection of bladder tumor group. There was no significant difference in the overall 1-year recurrence rate between the 2 groups during the follow-up periods. Also, no statistical difference was found when the comparison was made among every risk subgroups between the two groups.Conclusions: 980\u2005nm diode laser enucleation for treatment of non\u2013muscle-invasive bladder cancer demonstrates an advantage over conventional transurethral resection of bladder tumor in reducing intraoperative complications, shortening the mean duration time of the operation, shorting the time of duration of postoperative continuous bladder irrigation, and shorting the time of catheterization.This research was supported by Inner Mongolia Autonomous Region Higher Education Science Research Project: NJZY21140.a,Tong ZhaobGuirong Hea Department of China International Language and Culture College, Krirk University, Bangkok10220, Thailand, b Department of Culture Industry, College of Humanities and Social Sciences, Kwangwoon University, Seoul, 01897, Republic of Korea.Background: With the acceleration of the process of globalization, more and more people have a strong interest in learning Chinese language and culture. In international Chinese education, Chinese calligraphy, as a unique cultural and artistic form, has profound historical origin and cultural connotation, and has become an effective way and means to attract foreigners to learn Chinese. However, in the actual teaching process, due to the different cultural background and learning style, different psychological pressure, psychological anxiety and other bad emotions that are not conducive to physical and mental health will be produced in the learning process. How to effectively teach Chinese calligraphy in the cross-cultural background has become an urgent problem to be solved. In order to improve the effect of Chinese calligraphy education, promote the common development of international Chinese education and mental health education. Based on the mental health perspective, this paper studies the development of the communication mode of Chinese calligraphy education for international Chinese education.Subjects and Methods: Based on this, in order to improve the effect of integrating mental health education into Chinese calligraphy education in international Chinese education, and promote the integrated development of international Chinese education and mental health education. This paper first discusses the basic situation of international Chinese education; then it analyzes the basic connotation of Chinese calligraphy education. Then, from the perspective of psychology, this paper discusses and analyzes the psychological health factors of the communication mode of Chinese calligraphy education. Finally, based on the investigation of the audience of international Chinese education, this paper analyzes the specific mode of the future development of Chinese calligraphy education in China.Results: This paper mainly adopts the form of questionnaire survey to study Chinese calligraphy education under international Chinese education. The results show that the highest proportion of male study time is less than one year, accounting for about 35%. While the highest proportion of female study time is 3-4 years, accounting for about 23%. With the growth of age, the study time of participants under the age of 20 was less than one year, accounting for about 77% of the total; the study duration of 20-30 year-old participants is less than one year, accounting for about 48%; the study duration of participants over 30 years old is the highest of 2-3 years, accounting for about 36%. At the same time, the most popular way of learning is an online course, which accounts for about 40% of women. The largest number of Chinese calligraphy communication carriers that participants are interested in is painting, which accounts for about 34% of participants aged 20-30.Conclusions: This research not only provides a reference for improving the effectiveness of Chinese calligraphy education, but also makes an objective contribution to the future sustainable development of international Chinese education.This work was supported by a project grant from the Connotations and Values of Local Calligraphy Heritage in Zhongshan City, which used Xiaolan Town in Zhongshan City as an example. (Grant No.202357).a, Qinhai MaaYing Zhaoa School of Business Administration, Northeastern University, Shenyang 110819, China.Background: In the digital age, online reviews have become a crucial factor in shaping consumer purchase decisions. As such, understanding the factors that influence the credibility of online reviews is essential for businesses that seek to attract and retain customers. Previous research has identified several factors that affect online review credibility, such as review valence, length, and source credibility. However, little is known about how the psychological needs of consumers may impact their perceptions of review credibility. This study aims to investigate the influence of psychological needs, such as the need for social validation and the need for self-enhancement, on consumers\u2019 perceptions of online review credibility.Subjects and Methods: A survey was conducted with 500 participants who had recently made an online purchase. Participants were asked to rate the credibility of a fictitious online review, which varied in terms of review valence, length, and source credibility. Participants also completed a questionnaire that measured their psychological needs, such as the need for social validation and the need for self-enhancement. Structural equation modeling was used to analyze the data and determine the extent to which psychological needs influenced consumers\u2019 perceptions of online review credibility.Results: The results of the study indicate that psychological needs play a significant role in consumers\u2019 perceptions of online review credibility. Specifically, the need for social validation was found to positively influence consumers\u2019 perceptions of review credibility, while the need for self-enhancement was found to negatively influence consumers\u2019 perceptions of review credibility. Furthermore, the results suggest that the influence of psychological needs on review credibility may vary depending on the source credibility of the review.Conclusions: This study provides important insights into the factors that influence consumers\u2019 perceptions of online review credibility. The findings suggest that businesses can enhance the credibility of their online reviews by appealing to consumers\u2019 psychological needs for social validation, while avoiding tactics that may trigger consumers\u2019 need for self-enhancement. By understanding the psychological needs that underlie consumers\u2019 perceptions of online review credibility, businesses can better tailor their review management strategies to attract and retain customers.a, Li LibXianli Gaoa School of Foreign Languages, Guangdong Pharmaceutical University, Guangzhou, Guangdong 510006, China, b School of Foreign Studies, Guangzhou University, Guangzhou, Guangdong 510006, ChinaBackground: With the development of positive psychology, well-being, as a healthy psychological mechanism, has become an important factor to explain employees\u2019 behavioral attitudes and improve their job performance, which gradually enriches the relevant researches on teachers\u2019 subjective well-being. Predicting job performance based on subjective well-being has always been a major concern in the field of organizational behavior. In view of this, based on the perspective of positive management, the purpose of this study was to explore the internal mechanism of the impact of tertiary teachers\u2019 subjective well-being on job performance in the context of innovation and entrepreneurship by introducing organizational identity as a moderating variable.Subjects and Methods: Two hundred and sixty-seven Chinese tertiary teachers of foreign languages in innovation and entrepreneurship education from 10 universities were chosen through random sampling. Questionnaires were employed to measure job performance, subjective well-being and organizational identity in this study, and the data was analyzed by the descriptive statistics, correlation and regression analyses to examine the internal mechanism of the impact of tertiary teachers\u2019 subjective well-being on job performance in the context of innovation and entrepreneurship by introducing organizational identity as a moderating variable.Results: The findings obtained from the study are as follows: (a) Subjective well-being and organizational identity were important factors affecting job performance of tertiary teachers of foreign languages, (b) Subjective well-being of tertiary teachers of foreign languages had a significant positive impact on job performance and organizational identity, (c) Organizational identity had a significant positive impact on job performance of tertiary teachers of foreign languages. Conclusions: The moderating mechanism between teachers\u2019 subjective well-being and job performance is also a problem worthy of in-depth study. The propulsive relationship of organizational identity on subjective well-being and job performance showed that Chinese tertiary teachers of foreign languages could improve subjective well-being and job performance through organizational identity. Therefore, urging Chinese tertiary teachers of foreign languages to identify with institutions of higher learning and motivating teachers\u2019 enthusiasm for innovation and entrepreneurship education was one of the effective ways to improve teachers\u2019 job performance.th Five Year Plan of National Education Sciences grants (No. 2020GXJK468); The 2st Batch of Industry-University Cooperative Education Projects in 2022 by the Ministry of Education of China grants (NO. 220802193315018); Higher Education Special Funds (2021) of Department of Education of Guangdong Province.This work was supported by Guangdong Provincial Undergraduate Teaching Reform and Quality Engineering Construction Project grants (No. GDJG2021295); Planning Subject for the 13a, Yanrui Jiab, Xiaoyan XinbYu Wanga School of Management, Guangdong University of Science & Technology, Dongguan, Guangdong 523083, China, b School of Business Administration, Jimei University, Xiamen, Fujian 361021, China.Background: With the rise and development of e-commerce, the speed and scope of IWOM have spread more rapidly and extensively than traditional word-of-mouth. IWOM affected consumers\u2019 shopping mood and decision-making behavior. The quality of IWOM is increasingly becoming a primary consideration in consumer shopping choices.Subjects and Methods: The influencing factors of IWOM quality were analyzed from four dimensions such as IWOM recipients, channels, merchants and IWOM itself. The influencing factors of consumers mainly included consumers\u2019 gender, personality, mood and the type of products they bought. The influencing factors analyzed from the communication channels were the type and authority of websites. From the merchants\u2019 perspective, their influencing factors were the merchants\u2019 reputation, after-sales service, payment methods and measures such as cashback to consumers in order to get good reviews, as well as the merchants\u2019 handling of poor reviews given by consumers. The influencing factors of IWOM itself were mainly the directionality and the level of detail of IWOM. The questionnaire was designed according to the above four dimensions, and the proposed hypotheses were argued one by one through the empirical analysis method of questionnaire survey.Results: The study found that the stronger the trust tendency in consumers\u2019 mood, the higher the credibility of IWOM. Consumers\u2019 gender has no effect on IWOM quality. Consumers are more influenced by IWOM quality for highly involved products. Website authority, merchants\u2019 credibility and guarantee measures positively affect IWOM quality. Merchants\u2019 means of misleading implementation negatively affect IWOM quality. The higher the level of detail of IWOM, the higher its IWOM quality. The type of online platform and the positive or negative nature of IWOM itself do not have significant effects on IWOM quality.Conclusions: Based on the research results, certain reference suggestions are made for enterprises or businesses, consumers, governments, and communication channels. Enterprises should encourage and guide consumers to publish more detailed IWOM as much as possible. They should focus on and influence consumer mood and try to target their marketing to consumers with lower expertise and higher trust tendency. Consumers, as publishers or disseminators of IWOM information, should adhere to the principle of truthfulness and truthfulness, and publish true and effective IWOM. The government can formulate relevant legal norms and take measures to punish merchants to reduce false IWOM and enhance the objective accuracy of IWOM. Websites, as the main communication channels, should avoid the spread of false IWOM on websites by strengthening supervision.a, Xinzhe Zhaib, Yi Wub, Jianli HanaRui Yanga General Surgery Department, Shanxi Bethune Hospital, Shanxi, Taiyuan 030032, China, b Third Hospital of Shanxi Medical University, Shanxi Bethune Hospital, Shanxi Academy of Medical Sciences, Tongji Shanxi Hospital, Shanxi, Taiyuan, 030032, China.Background: Metabolic diseases caused by obesity are diverse, and many large population studies have reported a direct correlation between obesity and the occurrence of various diseases, which can affect the function of multiple endocrine organs including thyroid function. The relationship and mechanism between Hashimoto\u2019s thyroiditis (HT) and type 2 diabetes mellitus (DM) as two common obesity-related complications remain yet unclear.Subjects and Methods: The National Center for Biotechnology Information (NCBI) database was searched for GEO datasets (https://www.ncbi.nlm.nih.gov/geo), and datasets GSE18470 and GSE138198 were selected for data analysis. After analyzing the differentially expressed genes between the groups, the results were submitted to the DIANA TOOLS website and the MirPath tool was used for pathway enrichment analysis. The KEGG pathway enrichment results were selected as the data for further analysis, and key genes were identified.Results: Compared with simple obesity, there are more associated genes in obese patients with type 2 diabetes (DM) and HT, suggesting that type 2 DM may increase the chance of obese patients developing HT. The TGF-beta signaling pathway and Proteoglycans in cancer pathways contained the most genes, with 10 genes each. The TGF-beta signaling pathway (p=1.776067e-06) ranked higher than the Proteoglycans in cancer pathway (p=8.47584e-05), suggesting that the TGF-beta signaling pathway may be the key pathway for obese patients with type 2 DM to develop HT.Conclusions: This study not only found that there are more associated genes in obese patients with type 2 DM and HT, but also suggested that the TGF-beta signaling pathway is the key bridge for the occurrence of these two conditions. The 10 associated genes in the TGF-beta signaling pathway identified in this study can be the focus of future research. Identifying the possible mechanisms leading to the occurrence of HT in obese patients with type 2 DM can provide feasible treatment options for subsequent HT treatment.This study was funded by Shanxi Province \u201c136 Revitalization Medical Project Construction Funds\u201d (2021YZ05).a, Weiwei Fana, Qingqing MaaYanrui Jiaa School of Business Administration, Jimei University, Xiamen, Fujian 361021, China.Background: With the rapid development of Internet technology, a wide variety of digital information technologies have gradually integrated into people\u2019s lives and effected consumers\u2019 usage willingness and mood. Consumers have begun to expect payment methods to become more secure, convenient, and intelligent. Then various payment methods based on human biometric for identity verification have gradually emerged.Subjects and Methods: This study combined initial trust theory and perceived risk theory to investigate the effects of a total of five factors such as structural assurance, trust propensity, company reputation, initial trust, and perceived risk on consumers\u2019 psychological willingness and mood to use face swipe payment. Structural assurance is the guarantee of consumers\u2019 environmental security when using face payment. Trust propensity is the degree of consumers\u2019 personal tendency to believe in something new. Company reputation refers to the reputation of the backend company of face payment. Initial trust is the degree of consumers\u2019 trust in face payment in the beginning. Perceived risk refers to consumers\u2019 psychological expectation of unknown negative effects brought by using face payment. With the above five factors as independent variables and consumers\u2019 willingness and mood as dependent variables, the research model was constructed and the hypotheses were verified by using questionnaires and SPSS data analysis.Results: Structural assurance, trust propensity, company reputation, and initial trust significantly and positively affect consumers\u2019 willingness and mood to use face payment. Perceived risk significantly and negatively influenced consumers\u2019 willingness and mood to use. The details are as follows specifically. Higher structural assurance enhances consumers\u2019 initial trust in face payment and thus consumers\u2019 willingness to use it. The characteristic of being more likely to believe in something new positively drives consumers\u2019 initial trust in face payment. The good reputation of the company makes consumers more willing to use the company\u2019s face payment technology. The higher the initial trust, the stronger consumers\u2019 willingness to use face payment. The higher the perceived risk level of face payment, the lower the willingness to use.Conclusions: Valuable reference suggestions were proposed for enterprises to influence consumers\u2019 willingness and mood to use face swipe payment. They need to develop consumer-related protection mechanisms and establish comprehensive information security to maximize the safety of consumers\u2019 personal information and property. Enterprises should pay attention to maintaining their good reputation. Providing consumers with high-quality products and good services is the basis for enterprises to establish good reputation. They should emphasize the advantages of payment technology to attract consumers. When promoting face payment, enterprises should emphasize its convenient and safe functional advantages. They need to strictly comply with the laws and regulations related to face payment and protect consumers\u2019 rights and interests, which is the way to long-term development of enterprises.aLingling Tonga School of Social Service and Development, Zhengzhou Normal University, Zhengzhou, Henan, 450000, China.Background: Chinese entrepreneurs are known as the world\u2019s most hardworking, indomitable and persistent qualities. They not only have the ability to withstand tremendous pressure and deal with complex practices, but also able to keep a balance between their career, family and self-growth. In fact, many Chinese entrepreneurs have serious psychological and health problems due to their work stress and psychological anxiety.Subjects and Methods: From January 2022 to February 2023, 100 entrepreneurs and executives from different fields and industries were selected in Beijing, Shenzhen, Hubei, Xi \u2018an, Zhengzhou and other places for case interviews, observation, visits and questionnaires.Results: In recent years, with the integration of the world economy, the embedding of the Internet economy and the vigorous development of the digital economy, the pace is getting faster and faster, which makes the work pressure and physical and mental health condition of Chinese entrepreneurs cannot be ignored. Many entrepreneurs have physical health problems due to the work pressure and psychological anxiety cannot be well alleviated, such as sleep disorder, fatty liver, chronic gastritis, migraine, alcohol paralysis, low performance, depression, Job burnout, etc.Conclusions: This paper analyzes the influencing factors of entrepreneur\u2019s stress on individual psychological anxiety and establishes a structural model of the influence of entrepreneur\u2019s stress on emotion. Based on the empirical research data, this paper proposes the adjustment strategies and means of entrepreneur\u2019s job stress.Key words: Chinese entrepreneur; psychological anxiety; work pressure; affective disorder; health indicators1.This paper is one of the key research results of the undergraduate Teaching Engineering and Teaching Reform Research project of Zhengzhou Normal University, Research on the Cultivation Model and Standard Evaluation of Undergraduate Excellent Teachers \u201cResearch on the Impact of University Financial Assistance on the Development of Poor Students and Its Influencing Factors\u201d .aWenju Hana College of Foreign Languages and Literature, Northwest Normal University, Lanzhou, China.Background: This paper studies Martin Amis\u2019s masterpiece Money: a Suicide Note, aims to reveal the socioeconomic and psychological impact of mass media\u2019s consumption of body, such as the psychological anxiety.Subjects and Methods: This paper studies the novel from the perspective of media ecology, Baudrillard\u2019s social theories on the consumer society, body in the consumer culture, psychological anxiety and etc.Results: By focusing on the under-examined correlation between mass media, body consumption and anxiety in Amis\u2019s Money, this paper finds out that unlike orality and typography which produce abstract image of body in the mind of different people, the visual media such as TV produce concrete standards of body images, which highlight the importance of appearance, wiping out the uniqueness in people\u2019s appearance. By presenting a vast amount of visual images of the body through make-up, plastic surgery, lights, dressing and etc, the visual media construct ideal and standard images of male and female body, which foreground forever youth, beauty and health that are in fact impossible, and body image is associated with masculinity, femininity, self-discipline and social status, arousing people\u2019s consciousness of their body and anxiety, creating their desire of consumption to maintain their body, thus the mass media reach the goal of promoting consumerism and selling the goods. In order to meet or approximate the criteria of beauty set by visual media, people take various instrumental means to build their body. In this process, they accept the capital and power\u2019s discipline of their body willingly.Conclusions: In conclusion, this paper argues that the male and female body is commodified by mass media, causing great anxiety. In Amis\u2019s Money, under the discipline of media culture, John Self, the protagonist, is preoccupied with his appearance and full of anxiety. Self is so willing to do everything to preserve his body that he would rather quit reading because it hurts his body, which causes anti-intellectualism. And the male characters model after the film stars in their body image and even undergo plastic surgery. So in the age of visual media and high technology, body is oppressed and damaged to a deeper degree. The female characters in Money such as Selina, Caduta self-monitor their body to meet the standards of beauty set by the mass media. Therefore, mass media strengthen the commodification of male and female body, which reduces the value of female to sex and consumption. Instead of being liberated, the human body is still oppressed by aesthetic violence in the contemporary consumer society.This work was supported by the [Northwest Normal University] under Grant [number 2916]a, Chuanping Leib, Qingda Lia, Junling Mac, Li JiadHong Changa School of Marxism, Zhongkai University of Agriculture and Engineering, GuangZhou, Guangdong 510550, China, b School of Marxism, Sun Yat-sen University, GuangZhou, Guangdong 510275, China, c School of Humanities and Management, Guangdong Medical University, Dongguan, Guangdong 523808, China. dHC and CL contributed equally to this study.Background: Human enhancement technology can help people solve better social, economic, and medical problems and improve the social and medical environment. Human enhancement technology aim to improve human productivity through retinal implants, cochlear implants, and other audio-visual enhancement technologies, brain enhancement technologies such as drugs, brain implants, and brain-computer interfaces, and physical enhancement technologies such as exoskeletons and quality of life, thus promoting the progress of society.Subjects and Methods: This study aims to explore the research hotspots and cutting-edge trends of human enhancement technologies in the past 20 years. This study collected literature on human enhancement technologies from the Web of Science database. This study used bibliometric and visual analysis methods to conduct the study. The main paths of knowledge evolution of human enhancement technologies were mapped using CiteSpace visualization software. One of the main ways to perform word contribution analysis is to extract keywords, abstracts, and other relevant information from the dataset and draw a visual knowledge map to determine the relationships between topics in the disciplines represented in the dataset. The literature and the degree of deviation from the current knowledge structure are studied according to the structural transformation model in the citation network.Results: In the last 20 years of human enhancement research, this study identified 159 highly productive scholars and ten collaborative teams with large research sizes. Cluster analysis revealed that the Research was focused on \u201ccognitive enhancement,\u201d \u201cethical enhancement,\u201d \u201cemotional enhancement,\u201d and \u201cdisease and technology enhancement ethics\u201d. There are three shifts in the research themes and directions of human augmentation research, from disease treatment research to general human augmentation research; from medical examination of human cognitive augmentation to ethics of moral and emotional augmentation research; and from human drug augmentation research to biotechnological augmentation research under convergence technology. The frontier literature on human enhancement technology research involves multiple disciplines such as medicine, neuroscience, molecular biology, psychology, ethics, and sociology, and future Research is bound to focus on the convergence and innovation of multiple technologies, multiple topics, and multiple fields.Conclusions: The results of this paper can provide necessary references for researchers engaged in human genetic engineering, drugs, biomedical technology and other aspects of human enhancement technologies, and provide necessary guidance for future research directions.This work was supported by a project grant from \u201cHuman Enhancement Technology Risk Research: Causes, Models and Protocols\u201d, Ministry of Education, Humanities and Social Sciences Research Youth Project (Grant No. 22YJCZH012); \u201cA Philosophical Hermeneutic Study on Emerging Human Enhancement Technologies\u201d, Guangdong Philosophy and Social Sciences Planning Project (Grant No. GD20CZX01); Teaching reform Project of Guangdong Medical University \u201cResearch on Humanistic Quality Training Path of Medical Students in the Vision of Collaborative Education\u201d (Grant No.1JG21083); Guangdong Provincial University characteristic innovation project \u201cConstruction of Humanistic Medicine from the Perspective of Life Culture\u201d (Grant No.2021WTSCX034).a, Qin Zhoua, Wenchao GaobCui Shana College of Civil Engineering, Putian University, Putian, Fujian 351131, China, b CNNC Huachen Construction Engineering Co., Ltd, Putian, Fujian 351100, China.Background: With the rapid rise of China\u2019s social economy from 1998 to 2022, university teachers constantly face dual challenges from society and profession. Their mental health is constantly affected, especially female teachers in Chinese universities. This paper which analyzes the research results on the mental health of female teachers in universities from 1998 to 2022, reveals the development law of the research, summarizes and analyzes the research contents.Subjects and Methods: On the platform of China National Knowledge Network (CNKI), a total of 93 valid literatures were obtained, through the advanced search of the two subject words \u201cfemale teachers in universities\u201d and \u201cmental health\u201d. CiteSpace software is used to cluster analysis for the sample literature. It mainly contains the cluster analysis of literature authors, research institutions and keywords.Results: (1) From the annual trend of research results, the research development trend in the field of mental health of female teachers in universities can be roughly divided into three periods. First, the initial exploration period, paying attention to mental health investigation. Second, the rapid growth period, focusing on the psychological characteristics and influencing factors of female teachers in universities. Finally, the slow growth period, caring on the analysis of coping strategies in mental health problems and the improvement of career happiness. Moreover, the number of published papers peaked in 2008. (2) From the perspective of literature sources, key authors and research institutions, the research results in the field of mental health of female teachers in universities have been published in a wide range of journals, especially in mental health, education and teaching, higher education research field. (3) From the perspective of research contents, hotspots, frontiers and trends, the research contents in the field of mental health of female teachers in universities include the investigation of mental health status, influencing factors of mental health, and strategies for improving mental health. (4) Research hotspots focused on the female teachers in universities mental health status, and strategies to improve mental health problems. (5) Research frontiers can be roughly divided into three research periods.Conclusions: (1) From 2014 to now, the research popularity in the field of mental health of female teachers in universities has declined, and the quantity and quality of research results in this field have great room for improvement. (2) In the future, new technologies and methods, such as simulation prediction model and big data, can be introduced into the research methods in oder to improve the practicability and innovation of the research results in this field. (3) China\u2019s first-tier cities have more developed economies, and more students, higher school standards, and greater pressure on teachers\u2019 life and career. Therefore, the future research area can be further focused on China\u2019s first-tier cities. (4) At present, most researchers and research institutions have a lot of room for future cooperation. The further expansion of cooperative relations is conducive to the overall development of China\u2019s higher education.This work was supported by a project grant from Education and Research Project for Young and Middle-aged Teachers of Fujian Province (Grant No.JAS21249); Education Science Planning Project of Fujian Province (Grant No.FJJKC2020-029); University-level Education Reform Project of Putian University (Grant No. JG2022068).a, Xiaofeng LuobLimin Zhanga Sichuan University Jinjiang College, Pengshan, Sichuan, 620860, China b Sichuan Police College, Luzhou, Sichuan, 646000, China.Background: At the beginning of 2020, the COVID-19 began to sweep across China from Hubei, and the public health safety of Huanggang in Hubei was the first to bear the brunt. Huanggang was known as Huangzhou in ancient China. In 1079 AD, Su Shi, who was selected by the French newspaper Le Monde as one of the \u201cheroes of the millennium\u201d who influenced the world, was demoted to Huangzhou due to the Wutai poetry case. When the plague broke out, he announced the anti epidemic prescription \u201cSheng San Zi Fang\u201d to the public, and countless people survived!Subjects and Methods: During his demotion, Su Shi encountered plagues many times. Due to his rich epidemic prevention experience and effective public health management measures, he repeatedly saved people from distress. In terms of Su Shi\u2019s anti epidemic practice, effective public health management measures are as follows: During the initial stage of the epidemic, go deep into the epidemic area, truthfully report to the superior, and bought time for the government\u2019s timely rescue; Pay attention to drinking water hygiene and prevent accidents before they occur; During the epidemic, he actively promoted the use of prescription drugs to treat the epidemic, while donating funds to establish the \u201cAnle Fang\u201d equivalent to the prototype of a modern square cabin hospital to carry out isolation and self rescue, And integrate civil forces to assist in combating the epidemic; After the epidemic, it is recommended that the government exempt taxes and provide relief to restore people\u2019s livelihood. He also requires that officials who fail to perform their duties in the prevention and control of the epidemic be held accountable, and rectify the official atmosphere to ensure the normal operation of state power in the future.Results: In the early stages of the epidemic, due to the implementation of timely and effective public health prevention measures, the source of infection of the epidemic was quickly cut off; During the epidemic, Public health management measures are timely and effective, fully mobilizing the forces of all sectors of society, saving countless people, and minimizing the harm of the epidemic; After the epidemic ended, economic remedial measures were taken to appease the people\u2019s livelihood, and the lives of the people and government functions gradually returned to normal operation.Conclusion: Su Shi\u2019s series of anti epidemic practices from prevention to treatment are also scientific and reasonable, and still have important reference significance for the prevention and treatment of contemporary epidemic situations; As a great scholar, he also had a profound understanding of traditional Chinese medicine; Whether selflessly donating anti epidemic prescriptions, compiling medical books, or generously donating money to build a shelter hospital to fight the epidemic, these fully reflect his people-oriented, benevolent and pragmatic medical feelings.aXinxia Fanga Department of Music, Yancheng Teachers University, Yancheng, 224007, China.Background: China\u2019s National Mental Health Development Report (2021-2022) shows that the primary factors affecting depression and anxiety levels are age and income, and among which young people are the high-risk groups. According to the report and some relevant statistics, young people are faced with many troubles and challenges such as academic pressure, employment pressure, economic pressure, emotional pressure and so on. Mastering the ability to adjust emotions or words and deeds such as self-regulating depression, dissatisfaction and irritability, and learning to maintain an optimistic and peaceful attitude is a necessary quality to relieve psychological anxiety. What\u2019s more, traditional Chinese culture contains rich and profound psychological values, among which the representative works, such as Jung\u2019s theory of analytical psychology, are greatly inspired by traditional Chinese culture. The Chinese government attaches great importance to the inheritance of traditional Chinese opera, and has issued relevant policies such as \u201cOpinions on the Implementation of traditional Chinese Opera on Entering the Campus\u201d, \u201cOpinions on Comprehensively Strengthening and Improving School aesthetic education in the New Era\u201d, \u201cCompulsory Education Curriculum Plan and Curriculum Standards (2022 Edition Curriculum Standard)\u201d and so on to further encourage the inheritance and development of traditional Chinese opera, which promotes the mental health development of students to a large extent. In the era of new media, it should be remembered that only through continuous innovation can the inheritance methods and means of traditional Chinese opera achieve more remarkable results.Subjects and Methods: Relying on its advantages of low cost, immediacy, fast interaction, etc., the new media has become an important communication platform for traditional Chinese opera. Taking TikTok and Bilibili as an example, the author uses a combination of quantitative analysis and qualitative research to carry out research, and then analyzes the characteristics and trends of people\u2019s cognition, aesthetics and other aspects of traditional Chinese opera, so as to put forward targeted plans for primary and secondary school students to improve their cultural spiritual literacy, enhance the sense of national cultural identity and strengthen their mental health.Results: According to some relevant surveys, there are still insufficiency in netizens\u2019 awareness of traditional Chinese opera inheritance and knowledge reserve. In order to promote the physical and mental health of the general public through the dissemination of traditional Chinese opera, it is really necessary to cultivate their appreciation ability of traditional Chinese opera from an early age, strengthen the promotion of aesthetic education infiltration practice activities on primary and medium-sized campuses, and realize the whole process of aesthetic education for the whole people.Conclusions: The peaceful, harmonious, tenacious and optimistic aesthetic characteristics embodied in the traditional Chinese opera will not only have a positive guidance to the audience\u2019s psychology, but also strengthen their sense of national cultural identity and enhance their national cohesion. Additionally, while inheriting traditional Chinese culture, we should realize that the personality development and mental health of students and always bear in mind that the cultivation of aesthetic consciousness should be cultivated from an early age. What counts most is that, rich and colorful traditional Chinese opera aesthetic education activities should be designed according to the psychological characteristics and learning ability of students of different ages.aShuhan Hua School of Visual Communication, Lu Xun Academy of Fine Arts, Liaoning Province, China.Background: Art therapy is a separate discipline born in Europe in the 1930s and 1940s from the fusion of art and psychology as a form of creative expression for therapeutic purposes. The art therapy process consists primarily of the creation of art as therapy itself, and the resulting interaction between the practitioner and the subject. Art therapy has been widely used in Europe and the United States and has been shown to have a positive effect on a person\u2019s mental health and to alleviate many mental illnesses through art therapy, while art therapy is still in its infancy in theory and practice in China.Subjects and Methods: This paper first discusses the relationship between art creation and mental health, and then goes through the applications of art therapy in life, medicine and society respectively, pointing out through case studies that art creation can release psychological stress, relieve pain, alleviate illness and make a prominent contribution to mental health, followed by a brief overview of the current state of development of art therapy in China.Results: Artistic creation in psychological healing is not only an expression of one\u2019s emotions, but also a clear contribution to physical and mental health.Conclusions: Art therapy is an art of communication methods that has made an outstanding contribution not only to the psychological meaning of visual symbolism, to the relationship between creativity and health, but also to alternative therapeutic approaches. In the future this discipline will play an even greater role in building the field of mental health and has even greater potential to be explored. It has a role to play in human understanding of the self, healing and healthy living that cannot be ignored.a, Luxia LinaYanrui Jiaa School of Business Administration, Jimei University, Xiamen, Fujian 361021, China.Background: With the rapid development of Internet and information technology, a number of \u201cnet celebrities\u201d with distinctive features and economic benefits have emerged on social media platforms. Through social media platforms, net celebrities conveyed information about corporate brands or products to consumers, which improved their visibility and profoundly affected people\u2019s online consumption intention and mood. It is an emerging trend for companies to rely on social media platforms to influence consumers\u2019 shopping behavior through the Netflix model.Subjects and Methods: This paper firstly explained the theoretical foundation of social media and the current situation of Netflix, and analyzed the influencing factors of consumers\u2019 online purchase intention and mood, then deduced the influencing factors of consumers\u2019 purchase behavior under the Netflix model. Secondly, through the empirical study of quantitative analysis, the model of the influence of Netflix communication on consumers\u2019 purchase intention was constructed, with consumers\u2019 purchase intention as the dependent variable and with the product factor, the Netflix factor and the perception factor as independent variables. Finally, relevant conclusions were drawn by using questionnaires, SPSS data correlation analysis and regression analysis.Results: The factors that positively influence consumers\u2019 purchase intention and mood under Netflix social communication include product quality, users\u2019 product evaluation, interactive attitude of Netflix, multi-channel publicity of Netflix, and consumers\u2019 perceived value of the product. The specific descriptions are as follows. The higher the product quality, the better the consumer\u2019s shopping experience. The better the user\u2019s product evaluation, the stronger the consumer\u2019s purchase intention. The good interactive attitude can meet the consumer\u2019s demand. The multi-channel publicity both reduces the cost and expands the effect of Netflix. The higher the consumer\u2019s perceived value of the product, the stronger the consumer\u2019s purchase intention. In contrast, product information and perceived risk have no positive influence on consumers\u2019 purchase intention, i.e., specific and accurate product information does not have a significant positive influence on consumers\u2019 purchase intention, and consumers\u2019 perceived risk of the product has no significant negative influence on purchase intention.Conclusions: Marketing suggestions for enterprises to effect consumers\u2019 purchase intention and mood are presented. Firstly, enterprises can use differentiated Netflix groups to improve consumers\u2019 perceived value of their products. Secondly, focus on interactive marketing. Net celebrities should publish content according to consumers\u2019 interests, share their own real feelings of using the products, and actively interact with consumers on platforms such as video, live streaming or social. Thirdly, improve product quality. Companies can enhance consumer participation, so that consumers can participate in the process of designing and improving products. Finally, establish channel advantages. Enterprises should choose the right social media platform for cooperation according to their own product and industry characteristics to establish their long-term channel advantages.aFeng Yanga College of Chinese Language and Culture, Zhejiang Yuexiu University, Shaoxing, Zhejiang 312000, China.Background: This paper combines respiratory and acoustic signals from a physiological and acoustic perspective to write a program that divides the prosodic hierarchy based on the magnitude of respiratory reset amplitude, explores the corresponding relationship between the respiratory reset amplitude and the prosodic hierarchy, also explores the respiratory physiological mechanisms of acoustic features such as pauses, pitch dips, and amplitude dips in speech flow. To provide methods for speech rehabilitation training, improve patients\u2019 speech naturalness and fluency, enhance the effect of speech rehabilitation training. It provides a new method and thought for speech rehabilitation.Subjects and Methods: In this paper, the acoustic analysis method is used to record the voice and respiratory signals of 80 short passages read by four announcers. Write a Matlab program to analyze the four signals. Firstly, automatically mark the various respiratory reset positions of the chest and abdomen respiratory signals, calculate parameters such as respiratory reset amplitude, inhalation and exhalation duration, and then divide the prosodic hierarchy based on the magnitude of respiratory reset amplitude, mark the boundaries of prosodic units, and finally output parameters such as the duration, fundamental frequency, and amplitude of each prosodic unit.Results: The results show that there is a corresponding relationship between the repositioning amplitude of respiration and the prosodic boundary in discourse reading. (1) In discourse reading, the amplitude of respiratory reset can be divided into three levels. The first level respiratory reset corresponds to paragraph or complex sentence boundaries, the second level respiratory reset corresponds to clause boundaries, and the third level respiratory reset corresponds to prosodic phrase boundaries. (2) The pause coincides with the inspiratory segment, and the reason for the pause is to inhale for pronunciation, while the phonetic segment coincides with the expiratory segment. (3) Along with the pitch dip, the amplitude dip occurs simultaneously within a breathing cycle. The dip is caused by the continuous exhalation of air flow from the lungs during the exhalation pronunciation stage, resulting in a decrease in air pressure. The focus stress is mainly manifested as an increase in pitch. Phonological fluency is related to respiratory reassignment, which can be used for phonological rehabilitation training.Conclusions: The physiological reason for the pause is the completion of inspiratory movement, and the downward pitch and amplitude decline are caused by the attenuation of the airflow pressure in the expiratory segment of the lungs. In the process of language rehabilitation training, patients should master the correct breath control method, and adopt different sizes of breath resets according to the pause position of the discourse, so as to improve the effect of language rehabilitation training and the naturalness of the pronunciation of reading training.This work was supported by Major Projects of National Social Science Foundation \u2018Research on the contact and integration of Chinese languages\u2019 (Grant No.22&ZD213).a, Huiqiong HubBin Liua Jingzhou Central Hospital, Jingzhou 434020, China, b Hubei College of Chinese Medicine, Jingzhou 434020, China.Background: To provide reference for the diagnosis and treatment of influenza A (H3N2) in clinic and to reduce the mortality in patients with influenza A (H3N2) through the study on the level change of serum amyloid A (SAA), interleukin-6 (IL-6) and hypersensitive-C-reactive protein (hs-CRP) in patients with influenza A (H3N2).Subjects and Methods: 177 patients who had the clinical manifestations of influenza and were positive for H3N2 subtype influenza virus in the nucleic acid testing of the nasopharyngeal swab or sputum samples in Jingzhou Central Hospital from January 1, 2022 to December 30, 2022 were selected as the influenza A (H3N2) group. Another 169 subjects who underwent health examinations during the same period were selected as the healthy control group. The venous blood samples were collected in the influenza A (H3N2) group and healthy control group to detect the levels of SAA, IL-6, and hs-CRP in peripheral blood. The levels of the SAA, IL-6, and hs-CRP in the influenza A (H3N2) group and healthy control group were analyzed, and area under the curve (AUC), cutoff value, sensitivity, specificity, and Yoden index of single detection of SAA, IL-6, and hs-CRP and joined detection (SAA + IL-6+ hs-CRP) were compared to analyze the diagnostic value of single detection and joint detection on the diagnosis and treatment of influenza A (H3N2).Results: The levels of SAA, IL-6 and hs-CRP in influenza A (H3N2) group were 46.49\u2009\u00b1\u200929.08\u2005mg/L, 22.03\u2009\u00b1\u200911.59 pg/mL and 14.88\u2009\u00b1\u20097.80\u2005mg/L, respectively, significantly higher than those in healthy control group. The differences of SAA, IL-6 and hs-CRP between the two groups were statistically significant in test . The area under the curve (AUC), cutoff value, sensitivity, specificity and Yoden index of single detection of SAA, IL-6 and hs-CRP in influenza A (H3N2) group showed that the cutoff value of the serum SAA was 12.40\u2005mg/L with AUC, sensitivity, specificity, and Yoden index of 0.952, 0.819 and 0.988, respectively, significantly higher than that of IL-6 and hs-CRP; the AUC, sensitivity, and Yoden index of the joint detection (SAA + IL-6+ hs-CRP) were 0.964, 0.938, and 0.820, respectively, higher than those in the single detections; however, the specificity of the joint detection (SAA + IL-6+ hs-CRP) in influenza A (H3N2) group was 0.882, lower than that in the single detection.Conclusions: Markedly increased level of serum SAA can be found in patients with influenza A (H3N2). The joint detection of of SAA, IL-6 and hs-CRP is helpful for the diagnosis and evaluation of conditions of patients with influenza A (H3N2), which can be used as the reference for the diagnosis and treatment of influenza A (H3N2) in clinic with significant clinic value.a, Longhui ZhoubLiqiu Lina College of Physical Education and Health, Guangdong Vocational College of Science and Technology, 519090, Zhuhai, Guangdong, China, b Physical Education, Guangdong Jiangmen China Medicine College, Jiangmen 529000, Guangdong, China.Background: To briefly discuss related strategies of integrating sports psychology into physical education teaching in colleges and universities, so as to provide experience reference and help for practitioners in related industries, and promote the development of sports literacy of students in colleges and universities. This paper discusses the significance of integrating physical education into sports psychology health education in colleges and universities, and puts forward relevant countermeasures accordingly, in order to provide reference for physical education teachers in colleges and universities.Subjects and Methods: Questionnaire survey, logical analysis, expert interview and empirical research were used to explore the significance of integrating physical education into sports psychology health education in colleges and universities, and corresponding countermeasures were put forward.Results: In the physical education teaching practice of colleges and universities, it is necessary to infiltrate and integrate the related content of sports psychology, so as to continuously enhance the mental health quality in the teaching process and achieve excellent results in sports training. Constantly improve the ability of thinking control and self-regulation control of college students, to improve the physical psychology of college students to lay the foundation. In order to realize the cultivation of mental health quality of young people in colleges and universities in sports, the organization and development of sports should be guided by the law of physical and mental development of young people and the law of physical education teaching, take positive emotion, experience success, democratic autonomy and individual guidance as the basic principles, and take the organic, moderate and flexible penetration in the process, content and method of sports as the main strategy, so as to be practical. Training design and effective classroom management as process control to construct the physical sports youth mental health quality training path.Conclusions: By analyzing the correlation between the discipline orientation of sports psychology and the connotation of sports core literacy, the promoting effect of sports psychology research content on sports core literacy, and how to cultivate sports core literacy in sports psychology teaching, this paper tries to clarify the role of sports psychology curriculum in promoting students\u2019 sports core literacy, so as to better cultivate students\u2019 knowledge of sports psychology. Ability to solve problems related to sports practice.a, Manyi Chenb, Junling Maa, Cheng Yuc, Chuanping LeidLi Jiaa School of Humanities and Management, Guangdong Medical University, Dongguan, Guangdong 523808, China, b Nanling Corridor Country Revitalization Research Institute, Xiangnan University, Chenzhou 423000, China, c School of Medicine, Sun Yat-sen University, Shenzhen 518107, China, d School of Marxism, Sun Yat-sen University, GuangZhou, Guangdong 510275, China.LJ and MC contributed equally to this study.Background: The frequent occurrence of doctor-patient conflicts and medical disputes in the process of healthcare system reform has made medical humanities research a critical issue in public and scientific research. Despite the increasing number of studies on medical humanities, there is a lack of comprehensive and systematic combing based on bibliometrics.Subjects and Methods: This study uses author collaboration, institutional collaboration, keyword co-occurrence, cluster analysis, Structural Variation Analysis, bipartite graph overlay, and country and keyword bimodal mapping construction based on medical humanities-related research literature data from 1974-2022 in the Web of Science database to comprehensively and systematically sort out medical humanities.Results: The study found that the authors in the field of medical humanities research have been working on the following topics: scientific cooperation, research hotspots, and frontiers, knowledge base evolution trends, and prediction of potential, influential literature. It was found that author co-location and institutional cooperation in medical humanities research are relatively close, forming a complex cooperative network. Institutional research is more active in countries such as the United States, Canada, and the United Kingdom. The knowledge base and significant fields in medical humanities research show diversified development, and the intersection of subject areas is becoming stronger. Hot research issues represented by medical humanities education, medical humanities care, doctor-patient communication, and medical ethics have been formed. Moreover, 11 pieces of potentially influential literature have been mined.Conclusions: This study uses bibliometrics to systematically sort out the development trend, research hotspot and potentially influential literature in the field of medical humanities research since 1974, so as to provides relevant theoretical references and references for research in medical humanities and even medical humanities education.This work was supported by a project grant from National Social Science Fundation: Research on China\u2019s Experience and Global Sharing in Building a Human Health Community (Grant No. 20&ZD122); Teaching reform Project of Guangdong Medical University \u201cResearch on Humanistic Quality Training Path of Medical Students in the Vision of Collaborative Education\u201d (Grant No.1JG21083); Guangdong Provincial University characteristic innovation project \u201cConstruction of Humanistic Medicine from the Perspective of Life Culture\u201d (Grant No.2021WTSCX034).a, Deling Yanga, Feng Fenga, Jianhua Yangb, Xijun Huanga, Shiqi ChenaXiao Zhanga Guangzhou Academy of Fine Arts, Guangzhou, China, b Qingdao University of Science and Technology, Qingdao, China.Background: To explore the main technical applications for increasing the effectiveness of smart museum exhibitions in providing psychologically therapeutic services for visitors in the aftermath of the COVID-19 pandemic, with the goal of investigating the development of museum services for psychological treatment of visitors.Subjects and Methods: From the perspectives of art therapy and cognitive psychology theory, this paper provides a literature review of relevant papers and monographs on social psychological therapy in smart museums. Focusing on museums\u2019 psychological therapeutic services, the analysis examines trends in the development of smart museum exhibition technologies for visitors\u2019 psychological therapeutic services.Results: The psychological problems caused by the pandemic are similar to those of post-traumatic stress disorder (PTSD), making museums an ideal platform for artistic experiences and psychological healing. First, museums provide visitors with an experience environment that reflects a beautiful society and life, helping them to recover from negative emotions and addressing issues related to intrusive memory affecting psychological health. Second, museums offer creative exhibition activities to enhance social communication, helping visitors overcome fear and anxiety, while cultivating confidence and hope for a better future, addressing psychological health problems related to excessive pessimism leading to a loss of willpower. Third, museums provide an enjoyable experience that helps to heal the soul, addressing psychological health problems related to social anxiety.Conclusions: Firstly, smart museums can provide more open and inclusive services to the public by integrating online and offline exhibitions through the use of virtual reality and mobile communication technologies. By breaking down social barriers and alleviating post-pandemic social anxiety, smart museums can attract visitors to return to the museum environment. Secondly, by closely integrating artificial intelligence, the Internet of Things and collection resources in the planning of museum exhibitions, smart museums can create distinctive features that provide more targeted healing solutions for diverse groups of people with various psychological disorders. Thirdly, smart museums can explore scientific methods for treating psychological problems through exhibitions by leveraging big data, cloud computing and collaborating with relevant institutions, thereby making the focus on visitors\u2019 psychological health an important service content of museums. This study aims to contribute new technological applications to the development and construction of enhancing visitors\u2019 psychological health in museum exhibitions.This research partially funded by Ministry of Education of China under the Humanities and Social Sciences with the project \u201cResearch on the normal form of personalized interpretation of smart museum exhibition\u201d (project number 21YJA760093). The research is partially supported under and the 2021 Guangdong province graduate education innovation plan with the project \u201cGuangdong joint postgraduate training demonstration base\u201d (project number: 6040121010). Thanks should go to Ministry of Culture and Tourism of China under the Art Research Key Project Support Plan of 2022 Social Science Fund with the project \u201cComparative Study of Chinese, Japanese and Hollywood Animation Film Aesthetic and Cross-Cultural Communication Strategy\u201d (project number 22AC003). Special thanks to Guangzhou Academy of Fine Arts for the support of project on Film and Television Special Effects (project number: 6040321054), Science and Technology Art Experimental Class (project number: 6040321002), Research on the Teaching Method of Cultivating Graduate Students\u2019 Cross Media Art Creation Practice (project number: 6040122012LHKY), Research on the Design Method of Digital Exhibition in Smart Museums Based on Technology and Art (project number: 23XSC32).a, JinQi SongaXuan Songa Central South University of Forestry and Technology of Business, Changsha 410000, Hunan, China.Background: Based on the sustainable livelihood analysis framework, this paper conducts in-depth research on the impact of livelihood capital and mental health on the differentiation of farmers in mountainous areas. This is important as industrial differentiation provides a reference for promoting multi-channel income generation for farmers and achieving rural revitalization in mountainous areas.Subjects and Methods: A comparative analysis and multivalue selection model were used to explore the occupational differentiation of 180 farmers in mountainous areas of Hunan Province under different influencing factors.Results: The research results indicate that social capital differentiates pure and non-agricultural farmers into part-time farmers. Rich natural capital can attract farmers to differentiate into pure farmers or part-time farmer enterprises. Moreover, increased financial capital will help part-time farmers focus on agricultural production and encourage non-agricultural operators to engage in agricultural operations. The impact of physical capital will transform farmers into pure or non-agricultural full-time farmers. However, farmers with work experience are likelier to choose part-time agricultural forms. Providing agricultural technology training to farmers can help them immerse themselves in agricultural production by improving their production and management abilities. Additionally, mental health positively impacts the differentiation of pure farmers into part-time farmers and the livelihood capital differentiating the farmers depending on the proximity to the central market.Conclusions: The following suggestions are proposed. Increase psychological health training, develop farmers\u2019 enthusiasm, implement \u201cendogenous\u201d and \u201cexogenous\u201d industrial assistance, and ensure employment. Additionally, attention should be paid to optimizing and combining various livelihood capital and increasing immigrant livelihoods\u2019 sustainable endogenous driving force. Moreover, increase opportunities for immigrants to engage in non-agricultural businesses and encourage the development of ethnic minority characteristic tourism industries and online operation of \u201ccharacteristic products\u201d. While increasing support for non-agricultural skill training, it is necessary to assist the psychological health construction of migrant workers\u2019 families mainly engaged in agricultural production. Land asset transfer and appreciation work for contracted land for relocation, mountainous forest land, and homestead land are also important. Finally, restoring social networks, cultural protection, and development for ethnic minority immigrants should be considered.a, Li Zhonga, Qinghong Houa, Yunning TanbChangping Yina School of Accounting, Chongqing University of Technology, Chongqing, China, b School of Accounting, Chongqing Technology and Business University, Chongqing, China.Background: \u201cMitigating and adapting to global warming and reducing carbon dioxide emissions\u201d has become the political consensus of all countries in the world, and is also a common challenge for the world. Greenhouse gas emissions, such as carbon dioxide, not only affect political, economic and cultural development, but also have a significant negative impact on the psychological health and happiness of the general public. In order to reduce carbon emissions, the countries of the world have signed and introduced the Kyoto Protocol, the Paris Agreement, the Glasgow Climate Convention and other international conventions. In September 2020, China proposed at the 75th session of the United Nations General Assembly that \u201cChina should strive to reach peak carbon dioxide emissions by 2030 and achieve carbon neutrality by 2060\u201d .Subjects and Methods: On February 28, 2022, the United Nations Intergovernmental Panel on Climate Change (IPCC) issued a bulletin stating that greenhouse gas emissions such as carbon dioxide can lead to a series of psychological health problems. In order to better reduce carbon emissions, this paper constructs a carbon audit index system under the carbon peaking and carbon neutrality target based on the hierarchical analysis method with the perspective of the audit and the carbon peaking and carbon neutrality target as the guide.Results: This paper constructs a carbon audit index system based on the main line of \u201ccarbon emission policy formulation and implementation \u2192 carbon emission reduction governance investment \u2192 carbon emission project management \u2192 carbon emission governance output \u2192 carbon emission management effect\u201d, in an attempt to comprehensively, systematically and scientifically evaluate and authenticate the carbon reduction and emission reduction behaviors of each region and unit, and suppress the negative impact of carbon emission on people\u2019s psychological health.Conclusions: Carbon emission is a global issue, closely related to human economic and social development and physical and psychological health. As the \u201cinspector\u201d of policy implementation and the main national governance system, we should give full play to the role of audit in promoting the \u201cdouble carbon\u201d work, strengthen the audit supervision of carbon emission policies, projects, funds and benefits, and help achieve the national carbon peaking and carbon neutrality goals.This work was supported by a project grant from China Postdoctoral Science Foundation (Grant No. 2020M683255), and the National Social Science Fund Item (No. 22BJY033), and the Humanities and Social Sciences Project of the Ministry of Education (No. 19YJC630205).a, Deling Yanga, Feng Fenga, Jianhua Yangb, Shiqi Chena, Xijun HuangaXiao Zhanga Guangzhou Academy of Fine Arts, Guangzhou, Guangdong Province, People\u2019s Republic of China, b Qingdao University of Science and Technology, Qingdao, Shandong Province, People\u2019s Republic of China.Background: Contemporary social work and life stress bring about psychological issues such as depression and anxiety. However, due to limited medical resources, it is necessary to explore the use of art healing as a means to provide psychological therapy services to the general public.Subjects and Methods: This study explores the application of traditional immersive garden exhibition art healing as a method of psychological therapy through natural scenery and humanistic art therapy for the general public. Specific research includes the ways in which exhibitions soothe the emotions of the general public, the use of immersive experiential innovative art healing in exhibitions, and the integration of individuals undergoing art healing into society through exhibitions. Through the analysis of psychological therapy cases and qualitative analysis, taking the \u201cThree Mountains and Five Gardens Exhibition\u201d as an example, the application of art healing in exhibitions for psychological therapy is analyzed and studied from the aspects of communicating audience emotions, allowing audiences to immerse themselves in the art field, and creating a panoramic discourse space for artistic symbols to project new emotions from the audience.Results: First, the \u201cThree Mountains and Five Gardens Exhibition\u201d constructs artistic discourse and achieves emotional resonance and psychological comfort for the audience. Second, virtual reality immersive exhibitions encourage audience participation and artistic experience, achieving emotional healing. Third, the exhibition integrates artistic symbols, recreates cultural symbol representations through various media, and forms a panoramic discourse space constituted by artistic symbols, projecting the audience\u2019s emotions into a new cultural imaginary space for psychological healing.Conclusions: First, art healing fulfills the social responsibility of exhibition updates, reflects the exhibition\u2019s deeper care for the public, and extends the psychological therapy services of traditional immersive garden exhibitions. Second, exhibitions innovate the psychological therapy methods of art healing. Through the panoramic discourse space created by the exhibition\u2019s artistic symbols, the audience can project new emotions and achieve physical and mental healing. Third, the healed audience can better express their thoughts and release emotions through exhibitions to enhance communication. Therefore, the exhibition of innovative art therapy can serve the mental health of the public in a new way.This research partially funded by Ministry of Education of China under the Humanities and Social Sciences with the project \u201cResearch on the normal form of personalized interpretation of smart museum exhibition\u201d (project number 21YJA760093). The research is partially supported under and the 2021 Guangdong province graduate education innovation plan with the project \u201cGuangdong joint postgraduate training demonstration base\u201d (project number: 6040121010). Thanks should go to Ministry of Culture and Tourism of China under the Art Research Key Project Support Plan of 2022 Social Science Fund with the project \u201cComparative Study of Chinese, Japanese and Hollywood Animation Film Aesthetic and Cross-Cultural Communication Strategy\u201d (project number 22AC003). Special thanks to Guangzhou Academy of Fine Arts for the support of project on Film and Television Special Effects (project number: 6040321054), Science and Technology Art Experimental Class (project number: 6040321002), Research on the Teaching Method of Cultivating Graduate Students\u2019 Cross Media Art Creation Practice (project number: 6040122012LHKY), Research on the Design Method of Digital Exhibition in Smart Museums Based on Technology and Art (project number: 23XSC32).a, Menghua Liub, Qian Dua, Xianglei ZhucLongchao Xua Department of Social policy & Social work, School of Humanities, Taiwan National Chi Nan University, Taiwan, China, b Graduate School, University of Perpetual Help System DALTA, Las Pi\u00f1as City, Philippines, c Department of Health Sociology, School of Humanities and Management, Guangdong Medical University, Dongguan, China.LX and ML contributed equally to this study.Background: In recent years, the widespread use of smart devices for the elderly has also triggered more and more attention to how the elderly use smart devices and the importance of smart devices for the health management of the elderly. To this end, this study will investigate the relationship between the use of smart devices and the health management of the elderly to provide a scientific reference basis for optimizing the use of smart devices and implementing health management in the elderly.Subjects and Methods: This paper mainly uses the ordered Probit model to study the effects of smart device use on physical health and mental health of older adults. This paper examines the effects of attitudes, subjective norms, and perceived behavioral control on the physical and mental health of older adults based on planned behavior theory using CGSS 2017 data on older adults aged 60 years and older as a research sample, and analyzes the effects of educational attainment on the relationship between them.Results: It was found that more positive attitudes towards smart device use were associated with higher levels of physical and mental health. However, the moderating effect of educational attainment on the relationship between smart device use and physical and mental health was not significant. In addition, this paper makes the following recommendations: (1) communities increase education and training on the application of smart device for older adults. (2) Family as the smallest unit of support system, with intergenerational interaction to promote digital feedback, can effectively drive the digital integration of older adults.Conclusions: This study found that in China, older adults have more positive attitudes toward smart device use. Moreover, the more positive the attitude toward smart device use, the higher the level of physical and mental health. However, the moderating effect of education level on the relationship between smart device use and physical and mental health was not significant, but the regression coefficient was negative. This paper to provide more practically meaningful guidance and suggestions for the use of smart devices in the elderly, and to provide better support and assistance for health management and smart device use in the elderly.This article is the research output of the introduced talent scientific research launch fund project of Guangdong Medical University--\u201cApplication and improvement research of innovative technology of social work service for the Elderly\u201d.a,b, Yongtian Wub, Peitao Yangc, Xuekai WeibJianping Liua College of Civil and Environmental Engineering, Hunan University of Science and Engineering, Yongzhou, Hunan 425199, China, b Bama Hetai Longevity Industry Co., Ltd., Bama, Guangxi 547500, China, c College of Economics, Central South University of Forestry and Technology, Changsha, Hunan 410004, China.Background: The psychological recognition level of rural residents is the basis and prerequisite for choosing and promoting innovative development of rural industries. However, for a long time, the relatively weak foundation of rural industrial development, insufficient competitive advantages in industries, and relatively low output return rates have led to deep doubts among rural residents about whether they can promote innovative development of rural industries. It is urgent to alleviate the psychological anxiety of rural residents in both theoretical and psychological aspects, this has important theoretical and practical significance in promoting innovation and sustainable development of rural industries, achieving coordinated development between urban and rural areas and regions. However, there has been no research exploring the correlation and impact of rural industrial development and residents\u2019 psychological interaction from the perspective of psychological health and symbiosis theory.Subjects and Methods: Using the research method of symbiosis theory, an in-depth analysis and summary of the common anxiety problems in villagers\u2019 psychology were conducted from the perspective of mental health management. A comprehensive and systematic study in Some aspects of the construction and improvement of villagers\u2019 psychological health, improvement of psychological cognition level, composition of rural industrial symbiosis system, symbiotic connection mechanism, symbiotic interface, symbiotic mode, symbiotic ecosystem and other aspects has been researched on the interactive mechanism between the psychological logic and motivation of villagers\u2019 psychological anxiety and the innovative development of rural industries.Results: The research results indicate that villagers\u2019 psychological anxiety is the fundamental obstacle that restricts the innovative development of rural industries. The level of villagers\u2019 psychological health is the fundamental prerequisite for determining and influencing the innovative development of rural industries. Insufficient or biased psychological cognition of villagers is the primary obstacle that hinders the development of rural industries, and the lag in development awareness and thinking is the internal reason that hinders the development of rural industries, The insufficient level and depth of integration are the main practical problems faced by the development of rural industries, and the weak linkage mechanism is the fundamental reason that restricts the development of rural industries.Conclusions: There is an urgent need to build a sustainable development path for rural industries in some aspects of alleviating villagers\u2019 psychological anxiety, improving their mental health level, improving their psychological cognition level, strengthening the concept of innovative symbiotic development, constructing a connecting carrier platform, constructing efficient symbiotic mode, smoothing symbiotic interfaces, creating a positive symbiotic environment, constructing symbiotic connection mechanism, and strengthening co-effectiveness, in order to create a symbiotic ecosystem for innovative development of rural industries, To provide theoretical and practical references for promoting the sustainable development of rural industries.This work was supported by a project grant from Natural Science Foundation of Hunan Province(Grant No.2019JJ40545) and Hunan University of Science and Technology Applied Characteristic Discipline Construction Project(Grant No.18TSXK-001).a, Shanshan Niua, Yijian WangaChunyi Caoa Zhejiang Institute of Economics and Trade, Zhejiang Province, Hangzhou, China.Background: To achieve rural revitalization more quickly and effectively, it is necessary to enhance the quality of the vast peasantry, as farmers are an important human resource for rural revitalization. However, there are still issues such as low mental health level of farmers and long-term neglect of farmers\u2019 psychological problems. Therefore, it is imperative to conduct research on improving the mental health level of farmers in the context of rural revitalization.Methods: Based on Maslow\u2019s Hierarchy of Needs theory, research and analyses of farmers\u2019 actual needs can be conducted. With the support of metaverse technologies, artificial intelligence and virtual reality technologies, an all-in-one agricultural assistance platform can be built to provide innovative digital content applications for farmers\u2019 production, sales, and livelihood.Results: Based on the agricultural assistance platform, 3D virtual sports interaction with fun elements can be utilized to address the issues of inadequate sports facilities and farmers\u2019 weak awareness of fitness, thereby improving farmers\u2019 physical fitness and meeting their physiological needs. Through online and offline e-commerce skills training and the agricultural assistance platform, the problem of farmers lacking e-commerce skills and sales channels can be solved, thus fulfilling farmers\u2019 safety needs. By leveraging metaverse technologies to allow users to understand the original production process of products, communication between farmers and consumers can be promoted, satisfying farmers\u2019 social needs. Through big data and AI technologies, brand planning and design for agricultural products can be carried out, thus meeting farmers\u2019 self-actualization needs and promoting the holistic development of rural residents\u2019 physical and mental health.Conclusions: As a research hotspot in the digital economy, the integration and development of metaverse with the agricultural field holds great potential. Particularly, the innovative approach of incorporating metaverse into farmers\u2019 mental health in this article is noteworthy. Improving the overall mental well-being of rural areas is crucial for ensuring sustainable development in rural areas, and there is still a long way to go.a, Weifeng Xieb, Guo Fengb, Pengpeng Yub, Xianhui DuanaYanhua Zhoua College of Urban Construction, Jiangxi University of Technology, Nanchang 330098, China, b Department of Material Science and Engineering, Jingdezhen Ceramic Institute, Jingdezhen 333000, China.YZ and WX contribute equally to this work.Background: The rapid development of phosphor application materials and technology provides a very important platform and means for the research and development of medical detection, and the key to effective control and treatment of diseases is that accurate detection can be carried out at an early stage, so the development of new, stable, simple preparation conditions, practical value of red phosphor is a very meaningful work. Near-infrared light has important applications in security monitoring, biomedicine, plant lighting, spectral detection and other fields. Traditional near infrared light source cannot meet people\u2019s demand for fast and convenient use of near infrared equipment. Near-infrared phosphor conversion LED can make up for the deficiency of the traditional near-infrared light source, and it is the most promising new near-infrared light source to replace the traditional near-infrared light source.Subjects and Methods: Red phosphor has excellent optical properties, can emit red fluorescence, has the advantages of high stability and high efficiency, and can be used for biomedical detection. NaLa4(SiO4)3F: Eu3+ red phosphor was prepared by solid-phase method, and the influence of preparative process parameters on performance was systematically studied.Results: The study found that: the minimum temperature for the synthesis of NaLa4(SiO4)3F phase by solid-phase method was 750\u2103, the minimum temperature for the preparation of NaLa4(SiO4)3F pure phase was 850\u2103, and the optimal heat treatment temperature is 950\u2103. The optimal dosage of sodium fluoride (multiple of relative stoichiometric ratio) x = 1.3. The use of heat treatment and heterogeneous methods to strengthen the conversion of fluorescent materials in disease and biomedical detection has great significance and considerable application prospects. It is believed that the thermal stability regulation and design of phosphor will become an important research hotspot of phosphor research, will be widely concerned by researchers, and will become a kind of very potential phosphor matrix materials.Conclusions: The phosphor particles prepared by the solid phase method are spherical-shaped, with clear edges and surfaces, narrow particle size distribution, and are suitable for LED packaging. NaLa4(SiO4)3F: Eu3+ red phosphor will become an important tool to assist related medical testing, and is also widely used in portable and real-time related testing, providing important support and guarantee for medical testing.This work was supported by the Higher Education Teaching Reform Project of Jiangxi Provinc China (JXJG-22-24-5), the National Natural Science Foundation of China , Jiangxi Provincial Natural Science Foundation , Open fund project of the Key Laboratory of Inorganic Coating Materials, Chinese Academy of Science (ICM-202001), the Projects of Jiangxi Provincial Department of Science and Technology (20202BABL214013), the Science Foundation of Jiangxi Provincial Department of Education .aShaoyun Yanga Business Administration School, Zhuhai Technology Colleg, Zhuhai City 516000, China.Background: In recent years, with the acceleration of urbanization and economic development, the sense of happiness and belonging brought by cities has not been satisfactory. Cities gather population and various resources, but at the same time, the oppression and decadence caused by living issues such as wages, childbirth, education, transportation, and prices are becoming increasingly severe. Citizens\u2019 impression of the city has changed from a warm home to ubiquitous work pressure. This phenomenon constantly reminds us that there have been social and psychological problems in China\u2019s urbanization process. A series of popular communication trends such as \u201cfleeing Beijing, Shanghai, and Guangzhou\u201d have shown us that the main body of urban image shaping should be understanding the happiness of life, reflecting more on the psychological health and spiritual satisfaction of citizens. Nowadays, people have created increasingly diverse forms of communication through the communication platforms provided by modern technology, and their recognition of regional culture is becoming increasingly strong. The increasing pressure and anxiety in urban life are psychological issues in the development of Chinese cities, but these issues also provide soil for the construction and development of urban culture and image.Subjects and Methods: Urban image refers to various perceptual factors presented by a city in the public\u2019s mind, which can be the influence of various aspects such as architecture, culture, history, environment, cultural activities, etc., as well as people\u2019s understanding and interpretation of the symbols and meanings generated by these factors.Audience psychology refers to the thinking, emotions, and behavioral reactions that occur during the process of receiving and processing information. In communication activities, understanding the characteristics and changing trends of audience psychology can effectively formulate communication strategies and creativity, thereby improving communication effectiveness.Literature research and data analysis methods are used in this article. In the current era of information explosion, all kinds of communication media are using different communication strategies to attract the attention of the audience. In fact, they are trying to break through the audience\u2019s psychological system: make appropriate information according to the criteria of the audience\u2019s psychological selection, so that the information transmitted can enter the audience\u2019s psychological system faster and better through the psychological selection of the audience. Therefore, the psychological selection process of the audience has become the \u201cinvisible axis\u201d of various media production content today.Understanding the psychological characteristics of the audience is the foundation for developing effective communication strategies. Communicators need to deeply understand the characteristics and needs of the audience, design and optimize communication content and methods based on the audience\u2019s psychology, in order to maximize the effectiveness of communication.Results: The attractiveness of a city\u2019s image to its audience is not only an external manifestation of its comprehensive strength, but also a symbol of its soft power. People come with \u201cdreams\u201d and strive for their dreams in the city. However, when the development of the city encounters bottlenecks or lags behind, people\u2019s dreams will also be shattered, leading to a series of social psychological effects such as weakened individual psychological feedback and increased social exclusion. When regional economic development lags behind, people tend to focus more on material interests rather than emotional needs, but at the same time, the motivation to participate in social or economic activities decreases, entering a vicious cycle. Due to the motivating effect of urban image internally and the attractive effect externally, the dissemination of urban image will expand the space for urban development: the combination of the creativity of foreign residents and new spaces provides vitality for urban development, while also providing a path to realize dreams and spiritual support for citizens. Urban popularity is an important indicator of urban development. Through urban image promotion, more people can understand the city, generate interest and favoritism towards the city, and attract more people to travel, study, work, and live in the city.Conclusion: In recent years, with the acceleration of urbanization and economic development, the sense of happiness and belonging brought by cities has not been satisfactory. Cities gather population and various resources, but at the same time, the oppression and decadence caused by living issues such as wages, childbirth, education, transportation, and prices are becoming increasingly severe. Citizens\u2019 impression of the city has changed from a warm home to ubiquitous work pressure. This phenomenon constantly reminds us that there have been social and psychological problems in China\u2019s urbanization process. A series of popular communication trends such as \u201cfleeing Beijing, Shanghai, and Guangzhou\u201d have shown us that the main body of urban image shaping should be understanding the happiness of life, reflecting more on the psychological health and spiritual satisfaction of citizens. Nowadays, people have created increasingly diverse forms of communication through the communication platforms provided by modern technology, and their recognition of regional culture is becoming increasingly strong. The increasing pressure and anxiety in urban life are psychological issues in the development of Chinese cities, but these issues also provide soil for the construction and development of urban culture and image.a, Yuxing Shanga, Qiaoyi Lva, Yangjing Zhaoa, Hui Wanga, Weili Caib, Hui Zhangc,Yanling Zhud, Xiuting Liangd, Qixiang Shaoa,bZhanghui Lia Reproductive Sciences Institute, Jiangsu Key Laboratory of Medical Science and Laboratory Medicine, Department of Immunology, School of Medicine, Jiangsu University, Zhenjiang 212013, Jiangsu, P. R. China, b Institute of Medical Genetics and Reproductive Immunity, School of Medical Science and Laboratory Medicine, Jiangsu College of Nursing, Huai\u2019an 223002, Jiangsu, P. R. China, c Department of Clinical Laboratory, The Affiliated Hospital of Jiangsu University, Zhenjiang 212001, Jiangsu, P. R. China, d Department of Gynaecology and Obstetrics, The Xuzhou Hospital Affiliated to Jiangsu University, Xuzhou 221005, Jiangsu, P. R. China.Background: Ovarian cancer (OC) is one of the three malignant tumors with the highest mortality rate in the female reproductive system. Owing to the special anatomic location and the lack of typical clinical symptoms, the early onset is insidious. Due to drug resistance and easy recurrence, the 5-year survival rate of ovarian cancer remains has not improved significantly in the past thirty years, and mortality rate is also at a very high level, despite the great progress in chemotherapy, surgery and immune therapy. However, the mechanism of oncogenesis, progression, recurrence, and drug resistance of ovarian cancer have not been fully elucidated. Recently, it has been reported that N6-methyladenosine (m6A) and long non-coding RNAs (lncRNAs) play pivotal roles in ovarian cancer initiation, progression, drug resistance and recurrence. Whereas, the regulatory role and its mechanisms of m6A modification on lncRNAs in ovarian cancer are still unclear. Therefore, it is important to elucidate the regulatory role of m6A modification of lncRNAs and its effects on the development and prognosis of ovarian cancer.Subjects and Methods: We comprehensively evaluated the m6A modification patterns of 29 m6A modification-related genes in 374 samples from the TCGA ovarian cancer database, constructed an independent prognostic model based on m6A modification-related lncRNAs. ROC analysis was performed to verify the reliability of the prognostic model based on the age, stage and type of the patients. The data of the patients were divided into high-risk group and low risk group. TMB analysis, GO and KEGG pathway analysis of immune cells, immune infiltrate analysis and drug sensitivity analysis were performed in the prognostic model. QRT-PCR was used to detect the expression levels of 5 m6A modified lncRNAs in ovarian cancer tissues, and the changes of immune checkpoints in peripheral blood of ovarian cancer patients were analysed by flow cytometry.Results: The prognosis model that we constructed was reliable, through the prognosis model, we found that the prognostic characteristics of patients with ovarian cancer are related to the prognostic model, Naive B cell was necessary and played an important role in ovarian cancer, TIGIT had high value in immune checkpoint analysis in prognostic models, and Pazopanib might be a targeted medicine for ovarian cancer. In tumor tissues and peripheral blood of patients, we further verified that FOXP4-AS1 played a m6A dependent role in ovarian cancer and TIGIT was abnormally elevated in the tumor microenvironment of patients with ovarian cancer.Conclusions: The results demonstrated that m6A modification-related lncRNAs participated in malignant progression, recurrence, and drug resistance of ovarian cancer by regulating the tumor immune microenvironment. FOXP4-AS1 may will serve as a potential biomarker for ovarian cancer.This work was supported by the National Natural Science Foundation of China (82071738). Institutional Review Board Statement: The study was conducted in accordance with the guidelines of the Declaration of Helsinki, and was approved by the Ethics Committee of the Affiliated Hospital of Jiangsu University (KY2022K0913) and the Ethics Committee of Xuzhou Hospital Affiliated of Jiangsu University (2019-02-010-K01), respectively.a, Wei Cuia, Lisheng ChenaWenlong Zhoua Shandong Youth University of Political Science, Shandong, China.Background: With the development and progress of the economy and society, accounting work is playing an increasingly important role. Accounting psychological barriers can easily lead to unethical accounting behavior. How to provide psychological adjustment is currently the focus of accounting work. This article explores the relationship between accounting psychological barriers and unethical accounting behavior from the perspective of accounting psychology, focusing on the specific manifestations of accounting psychology and unethical accounting behavior, as well as feasible suggestions for psychological adjustment of the psychological barriers that may arise. This article provides theoretical support and practical guidance for the psychological adjustment of unethical accounting behavior, and summarizes its application experience.Subjects and Methods: This research will primarily use normative analysis, supplemented by qualitative analysis, logic, and other methods. The main focus of this paper is to explore the relationship and influence between accounting psychological barriers, accounting misconduct, and psychological adjustment from the perspective of accounting psychology. Due to the difficulty of obtaining relevant research samples and data from public sources in both behavioral accounting research and accounting psychology research, this paper conducts a review of relevant literature and develops a survey questionnaire. Through theoretical analysis of the generation and change of psychological barriers in accounting subjects, as well as the relationship with accounting misconduct, this paper provides explanations and rationalization suggestions for the psychological adjustment of accounting psychological barriers.Results: This paper expounds on the historical development and current situation of accounting, analyzes the content, composition, and influencing factors of accounting psychology, explains the reasons and influencing factors of accounting psychological barriers and accounting misconduct. The relationship between accounting misconduct and accounting psychological barriers is discussed, and the process of accounting misconduct is emphasized. By referencing literature, questionnaire surveys, and other materials, this paper reveals the internal relationship between the subjective and objective environment and personal characteristics of accounting practitioners and the factors that contribute to the occurrence of psychological barriers and accounting misconduct. Finally, from the perspective of how to adjust psychological barriers, suggestions are made to standardize accounting behavior.Conclusions: The psychological barriers of accounting subjects engaged in accounting work are the key factors that lead to accounting misconduct. The two are closely related and influence each other. The psychological barriers of accounting subjects are the main reasons that affect the occurrence of accounting misconduct, while accounting misconduct is the manifestation of accounting psychological barriers. By studying the relationship between accounting psychological barriers and accounting misconduct, exploring the reasons for the emergence of accounting psychological barriers, and implementing reasonable and effective psychological adjustment measures, can we fundamentally find methods and strategies to standardize accounting behavior.Shandong Province Education Science \u201cthe thirteenth Five-Year Plan\u201d project: research on the construction of \u201cbig accounting\u201d professional practice teaching system in the era of digital intelligence (project number: 2020YB005).a, Hongyu Lana, Xinyu Laoa, Guangning Luob, Xiaolan MaaLeyi Shaoa School of Education Science, Nanning Normal University, Nanning, China, b Nanning School for the Special Education, Nanning, China.Background: Early childhood experience has a profound impact on an individual\u2019s lifelong development, and the quality of development is influenced by many factors of biological and social environment, among which the traumatic experience of children in early childhood is closely related to their later psychological problems and anxiety disorders, traumatic experiences mainly include physical abuse, physical neglect, emotional abuse, emotional neglect, sexual abuse, etc. Social anxiety disorder will directly affect social skills, which is not conducive to the development of individuals\u2019 social functions and the construction of good interpersonal relationships. Compared with normal students, Hearing-impaired students tend to perceive certain prejudice and hostility, so they have a strong defensive psychology and often exaggerate such prejudice. This hostility and distrust towards others can have a negative impact on the establishment of their interpersonal relationships, thus making them prone to anxiety when communicating with others. So they are more prone to emotional problems such as social avoidance and social anxiety. Emotional regulation self-efficacy, as a kind of self-efficacy with emotional regulation characteristics, actually refers to a sense of confidence formed by individuals based on their subjective evaluation of their own emotional regulation ability, which is a key factor to reduce social anxiety in adolescents. Under the dynamic effect of emotional regulation self-efficacy, individuals can take effective emotional regulation strategies and properly deal with emotional events, especially negative emotional events. Therefore, it is of great significance to explore the mechanism of emotional regulation self-efficacy between childhood maltreatment and social anxiety.Subjects and Methods: To investigate the influence mechanism of childhood maltreatment on social anxiety of hearing-impaired students, 135 hearing-impaired students were investigated by the Childhood Maltreatment Questionnaire (CTQ-SF), the Emotional Regulation Self-efficacy Scale (SR-ESE), and the Social Interaction Anxiety Scale (SIAS).Results: The results indicated that: (1) childhood maltreatment significantly positively predicted social anxiety; (2) childhood maltreatment and emotional regulation self-efficacy showed a significant negative correlation, and there was a significant positive correlation between emotional regulation self-efficacy and social anxiety; (3) emotional regulation self-efficacy played a mediating role between childhood maltreatment and social anxiety.Conclusions: It suggested that childhood maltreatment may have a long-term negative influence on hearing-impaired students\u2019 social anxiety, which is partially mediated through emotional regulation self-efficacy.This study is the phased research achievement of 2023 Guangxi Education Science \u201c14th Five-Year Plan\u201d Topic: Mental Health Status and Service System Construction of Sound healthy siblings in Families with Special Children, Project No.: 2023B145.a, Yuanyuan Maa,b, Zhiqiang Baoc, Narenchaoketua, Huan Wangd, Hua Lia, Huhemurena, Shui Linga, Siqina, Naqina, Yingsong Chena,dGuizhia Inner Mongolia Medical University Inner Mongolia, Hohhot 010010, China, b Affiliated Hospital of Inner Mongolia Medical University, Inner Mongolia, Hohhot 010010, China, c Inner Mongolia Hospital of International Mongolian Medicine, Inner Mongolia, Hohhot 010065, China, d Inner Mongolia Minzu University, Tongliao 028000, China.Guizhi and YY Ma contributed equally to this study.Background: This research aims to examine the molecular mechanism of Mongolian medicine Nuan Gong Qi Wei Pill (NGQW) in treating diabetic kidney disease (DKD) based on network pharmacology and molecular docking and analyze the molecular regulatory mechanisms of its major active ingredients docking with the significant targets of DKD.Subjects and Methods: The active ingredients and their targets of NGQW were acquired from the Traditional Chinese Medicine Systems Pharmacology Database and Analysis Platform (TCMSP), Encyclopedia of Traditional Chinese Medicine (ETCM), and a high-throughput experiment- and reference-guided database of traditional Chinese medicine (HERB). DKD-related targets were founded by searching four databases: DisGeNET, Gene Cards Human Gene Database (GeneCards), Online Mendelian Inheritance in Man (OMIM), and Therapeutic Target Database (TTD). The STRING database was used to construct a protein-protein interaction (PPI) network to search for major targets. Additionally, enrichment analysis involving main biological processes and pathways was carried out using the Database for Annotation, Visualization, and Discovery (DAVID) and Metascape databases. Cytoscape software was used to construct and analyze networks. AutoDock Vina and PyMOL were used to validate molecular docking between significant active ingredients and major key targets.Results: Collectively, 174 NGQW active ingredients, 492 potential targets, and 4227 DKD targets were screened. After the intersection procedure, 295 potential targets of NGQW for DKD were obtained. In addition, quercetin, beta-sitosterol, oleic acid, isoliquiritigenin, and apigenin were the possible key active ingredients of NGQW, Signal transducer and activator of transcription 3 (STAT3), Nuclear factor NF-kappa-B p65 subunit (RELA), Mitogen-activated protein kinase 1 (MAPK1), Heat shock protein 90 alpha family class A member 1 (HSP90AA1), and AKT Serine/Threonine Kinase 1 (AKT1) were important targets in the PPI network. The PI3K/AKT signaling pathway, the lipid and atherosclerosis signaling pathway, the AGE-RAGE signaling pathway in diabetic complications, and the MAPK signaling pathway were all involved in the enrichment analyses along with biological processes including the cellular response to oxidative stress, hormones, and nitrogen compounds. Furthermore, this study highlighted a good binding activity between key active ingredients and key targets.Conclusions: NGQW has the potential to treat DKD through multiple pathways, targets, and compounds. The main active ingredients in this medicine, such as quercetin, isoliquiritigenin, beta-sitosterol, oleic acid, and apigenin interfere with multiple signaling pathways including cellular response to nitrogen compounds, hormones, and oxidative stress by regulating crucial targets such as STAT3, RELA, HSP90AA1, MAPK1, and AKT1.This work was supported by a project grant from the word-class discipline\u201c construction project of Traditional Chinese Medicine (Mongolian medicine) of Inner Mongolia Medical University, (Grant No.myxylxk2022017).a, Chao FanbXiaobo Taoa School of Economics and Management, North China University of Technology, Beijing 100144, China, b School of Business, Central University of Finance and Economics, Beijing 100098, China.Background: With the continuous advancement of technology and the ongoing innovation of business models, companies are facing an increasingly competitive business environment. In this context, successful development of new products has become one of the key strategies for companies to cope with competition. In reality, practices led by companies and inviting customers to participate in new product development are becoming quite common, and as a result, many forms of customer involvement have emerged. However, the issue of how to effectively improve the satisfaction and mental health of customers, and encourage them more proactive and engaged in the company\u2019s new product development process, has received little attention. Mental health refers to a person\u2019s overall psychological well-being, including their emotional, cognitive, and social functioning. It encompasses how an individual thinks, feels, and behaves, as well as their ability to cope with life\u2019s challenges and adapt to changes. The promotion and preservation of mental health contributes to individuals\u2019 overall quality of life, productivity, and social integration, and it reduces the burden of mental illness on individuals, families, and society. Therefore, favorable levels of mental health among customers are conducive to enhancing their efficiency in participating in new product development.This requires companies to choose more appropriate forms of customer involvement in the new product development process, so as to not only improve customers satisfaction and mental health, but also further enhance company performance and put new product development on a healthier and more sustainable track. Based on this, the study will conduct a systematic exploration of how different forms of customer involvement affect new product development performance.Subjects and Methods: This study conducted a questionnaire survey on 287 high-tech companies with independent R&D departments in five provinces and cities including Beijing, Tianjin, Shandong, Shanghai, and Jiangsu. Finally, a set of 267 valid questionnaires was obtained. These questionnaires were mainly distributed across industries such as electronic information technology, biotechnology and new pharmaceutical technology, and aerospace technology.Results: Based on the regression analysis, the results suggested that customer involvement had a significant positive impact on new product development performance. Furthermore, the study revealed that the stronger the incremental innovation capability, the stronger the impact of customer involvement as an information source on new product development performance, while the impact of customer involvement as innovators was weaker. In comparison, the stronger the radical innovation capability, the stronger the impact of customer involvement as innovators on new product development performance, and the weaker the impact of customer involvement as an information source. However, the interaction effect of incremental or radical innovation capability and customer involvement as co-developers was not significant.Conclusions: When a company possess strong incremental innovation capability, customer involvement as an information source is more advantageous for enhancing new product development performance. Conversely, when companies possess strong radical innovation capability, customer involvement as innovators is more conducive to enhancing new product development performance. During this process, the mental health of customers plays a crucial role. The participants\u2019 good mental health level triggered by appropriate customer involvement strategies not only strengthens their ability to cope with stress, challenges, and maintain positive interpersonal relationships at work, but also further enhances their initiative and work efficiency in participating in new product development. Therefore, improving the mental health of participants is of significant importance in enhancing the performance of new product development. The study enriches the understanding of the mechanisms through which customer involvement influences new product development performance and offers empirical evidence for companies with diverse innovation capabilities to determine suitable customer involvement strategies for new product development.a, Lijun Wangb,c,d, Yuepeng Sune, Hyoung-Kil KangfJinggang Lia Sports Department, Jilin International Studies University, Changchun 130000, Jilin, China, b College of Physical Education and Health, Yulin Normal University, Yulin 537000, Guangxi, China, c International College, Krirk University, Bangkok 10220, Thailand, d Wuchang University of Technology, Wuhan 43000, Hubei, China, e Sports Department, Dalian Maritime University, Dalian, Liaoning 116026, China, f Graduate School of Education , Kyungnam University, Changwon, Republic of Korea.Background: This study aims to investigate the impact of Adversity Quotient Theory on the exercise persistence of Chinese college students and to develop an Exercise Adversity Coping Scale to explore the relationship between exercise adversity coping ability and student anxiety alleviation.Subjects and Methods: The present study aimed to develop an Exercise Adversity Coping Scale based on the Adversity Quotient Theory. The scale includes three dimensions and twelve items, and has been shown to have good reliability and validity. In addition, the study sought to validate the effect of the Adversity Quotient Theory on exercise persistence and the alleviation of student anxiety, through exercise behavior surveys and student interviews.Results: Based on data collected from interviews and questionnaires, typical exercise adversities were identified using NVivo12 software. Next, Exploratory Factor Analysis (EFA) was conducted on a sample of 345 Chinese college students to evaluate the psychometric properties of 54 items and develop a 15-item Exercise Adversity Coping Scale with three dimensions: Exercise Adversity Responsibility, Exercise Adversity Control, and Exercise Adversity Influence. This scale explained 63.54% of the cumulative variance, and its internal consistency reliability and split-half reliability were found to be 0.909 and 0.874, respectively. Additionally, Confirmatory Factor Analysis (CFA) was conducted on another sample of 300 college students, and the remaining 12 items were validated. According to the results of exercise behavior surveys, college students who consistently exercised had an average score of 3.63 on the exercise adversity coping ability scale. Moreover, interviews conducted with students who had high exercise adversity coping abilities revealed that they considered physical exercise to be an effective means of relieving stress, which is supported by related literature.Conclusions: The Exercise Adversity Coping Scale developed in this study has demonstrated acceptable reliability and validity. Moreover, the findings suggest that developing exercise adversity coping ability can enhance exercise persistence, which in turn may help alleviate student anxiety.a, Xiang WangbYan Jianga Psychological Counseling Center, Shanghai University, Shanghai, 20444, China, b Department of Nursing, Zhuhai Campus of Zunyi Medical University, Zhuhai 519041, China.Background: The lifestyles and mental health of numerous college students were affected by the outbreak of the novel coronavirus disease. However, no study has examined the impact of subjective evaluations of exposure to the pressure on mental health. The current study was conducted and examined the relationship between problematic mobile social media usage and depressive symptoms, and the moderating effect of perception of the novel coronavirus disease.Subjects and Methods: A cross-sectional online questionnaire study of 3123 Chinese college students in the Shanghai was conducted in March and April 2020. Problematic mobile social media usage was assessed by the Problematic Mobile Social Media Usage Assessment Questionnaire and depressive symptoms were assessed using the Patient Health Questionnaire-9 (PHQ-9). 2056 students reported that they were affected by COVID-19, and 1067 students formed the \u201cunaffected group.\u201d Structural equation modeling (SEM) in Mplus 8.0 was used to examine whether the hypothesized relationship between problematic social network usage and depressive symptoms was affected by whether the respondents reported being affected by COVID-19.Results: The effect of problematic mobile social media usage on depressive symptoms was significant. The level of problematic mobile social media usage and depressive symptoms in the affected group was significantly higher than that in the unaffected group. The interaction between problematic mobile social media usage and perceived influence of COVID-19 was statistically significant. The effect of problematic mobile social media usage on depressive symptoms was moderated by perceived COVID-19 influence. Specifically, compared with students who were unaffected by the novel coronavirus disease, those affected showed more severe depressive symptoms.Conclusions: The findings suggest independent and interactive effects of problematic mobile social media usage. The results highlighted the underlying mechanisms in the relationship between problematic social media usage and depression. These findings provide practical insights into the development and implementation of psychological interventions when facing pressure.a, Qiuxiang Bib, Zhouyin Zhangc, Luote DaidAnzhong Huanga School of Economics and Management, Nanchang Institute of Science and Technology, Nanchang, 330108, China, b School of Management, Guangzhou Xinhua University, Dongguan, 523133, China, c School of Accounting and Finance, Anhui Xinhua University, Hefei, 230088, China, d School of Digital Economy and Trade, Wenzhou polytechnic, Wenzhou City, 325035, China.Background: Based on the hypothesis of the positive relationship between poverty and its vulnerability and residents\u2019 mental health, this paper aims to test whether the digital divide affects the efficiency of poverty alleviation in inclusive finance, so as to affect people\u2019s mental health.Subjects and Methods: Poverty is the main acoustic factor of people\u2019s mental health. Whether inclusive finance can improve poverty and finance to alleviate people\u2019s mental health has been debated in academic circles. Based on econometric analysis, this paper holds that the digital divide has a downward effect on the poverty alleviation effect of general finance, which in turn affects people\u2019s mental health.With the development of digital technology, digital inclusive finance is becoming the mainstream. However, the digital divide significantly affects the inclusiveness of financial development.Based on the measurement of China\u2019s digital financial inclusion and digital divide, this paper studies the moderating effect of digital divide\u2019s financial inclusion.Results: The test results show that family health, labor, the dependency ratio, per capita income levels, and the influence of the level of cash deposits are significantly negative, family average age for the action of increasing poverty vulnerability, and the influence of family size is may be due to the large family, more than in the case of more than three generations would cohabit stroke young family in pension spending is higher, This burden increases the vulnerability of households to poverty. The development of digital inclusive finance weakens the poverty vulnerability of households on the whole. The existence of digital divide does negatively affect the poverty alleviation effect of digital inclusive finance.Conclusions: The development of digital financial inclusion has a significant negative effect on the vulnerability to poverty and the digital divide significantly weakens the mitigation effect of digital financial inclusion on poverty vulnerability. Through poverty and poverty fragility, the digital divide has a negative impact on residents\u2019 mental health. The digital divide has a huge impact on families\u2019 mental health by affecting financial inclusion. The digital divide has a huge impact on families\u2019 mental health by affecting financial inclusion. So addressing the digital divide can not only improve financial inclusion, but also address the mental health pressures that families face. There is a significant negative correlation between the digital divide and the mental health of the poor resident. Therefore, addressing the digital divide can improve mental health of the poor resident.This study was supported by the 13th Five-Year plan research project of philosophy and social sciences of Guangdong province (GD17YGL03); the Project of Philosophy and Social Sciences Research in Jiangsu Universities (2019SJA1932); the Youth Fund Project of Humanities and Social Sciences Research of Ministry of Education (21YJC790086); the key project of Humanities and Social Sciences (SK2021A0776) and the Anhui Philosophy and Social Science planning Project (AHSKY2020D53).aChunlu Gaoa Chongqing Aerospace Polytechnic College, Chongqing, China.Background: With the improvement of people\u2019s living standards, contemporary individuals are constantly pursuing higher levels of experiential satisfaction in their daily lives. Travel demand, to a large extent, is inspired by the diverse and colorful cultural heritage found throughout different destinations, providing opportunities to experience and explore the diversity and uniqueness of culture. Intangible cultural heritage embodies the civilization of human society and represents the diversity of global cultures. Introducing intangible cultural heritage-related courses to students majoring in tourism management at vocational colleges is beneficial for enhancing their sense of pride in traditional Chinese culture, cultivating their interest in further learning and researching intangible cultural heritage, and encouraging them to find their life goals and build self-confidence, thereby promoting their mental health development.Subjects and Methods: The paper analyzed the impact of integrating intangible cultural heritage into tourism management education on enhancing students\u2019 self-efficacy, promoting cultural identity, and fostering respect and dedication. Further, it explored specific intangible cultural heritage elements that can be integrated into the teaching process, and proposed targeted strategies for incorporating these elements into the curriculum.Results: The findings indicate that integrating intangible cultural heritage into tourism management education allows students to gain knowledge and insights about intangible cultural heritage and its inheritors. Incorporating intangible cultural heritage into the growth process of cultivating personal character, developing professional skills, and fostering ethical values can produce positive emotions and fulfill students\u2019 psychological needs, mitigating the negative impact of emotions such as depression, low self-esteem, and sensitivity. This integration produces a significant positive effect on students\u2019 mental health and contributes greatly to their growth and development in the future.Conclusions: Based on the findings, it is recommended that the teaching curriculum of tourism management should be developed based on real-world contexts, with a focus on the theme of \u201cprotection and inheritance of intangible cultural heritage\u201d. It is crucial to recognize the significant role that tourism plays in safeguarding intangible cultural heritage and to undertake education reform and practical exploration to promote the simultaneous development of intangible cultural heritage preservation and tourism management education towards a \u201cwin-win\u201d outcome.This work was supported by the General Project of Higher Education Science Research of Chongqing Higher Education Institute from 2019 to 2020 \u201cResearch on Teaching Reform of \u20181+X\u2019 Certification System in Vocational Tourism Management Program\u201d under Grant number CQCJ19B142.a, Xinyu Laoa, Yexiao Lianga, Xia Chena, Rongchao Gonga, Liting LiuaLeyi Shaoa School of Education Science, Nanning Normal University, Nanning 530299, ChinaBackground: As direct participants in the education and rehabilitation of children with special needs, the anxiety of parents of children with special needs affects the rehabilitation process of children with special needs to a certain extent. In this study, we investigated the anxiety of parents of children with special needs and assessed the relevant factors affecting parents\u2019 anxiety levels.Subjects and Methods: In this study, a questionnaire was administered to 176 parents of children with special needs using the Self-Assessment Scale for Anxiety (SAS) and the results were statistically analysed using SPSS 20.0 software to investigate the anxiety status of parents of children with special needs, including basic personal information of the parents, basic information of the children, educational status of the children, monthly household income and educational status. At the same time, in order to ensure the completeness and richness of the information required for the study, a foundation was laid for the subsequent data collation and analysis. The researcher also conducted interviews with the parents of special children.Results: This study investigates the anxiety of parents of children with special needs and analyses the relevant factors that influence the level of parental anxiety, which consists of basic information about the family and the basic situation of the child. The anxiety index of parents of special children was shown to be (56.16\u2009\u00b1\u200912.55) points, which are at a mild level of anxiety. Among these factors, parental gender, age, type of family of the special child, parental status of the special child, occupation, education, monthly household income, number of children, gender of the child, type of disability of the child, degree of disability of the child, pattern of rehabilitation expenditure, special school and family placement had no effect on the anxiety level of the parents of the special child. The total anxiety score of parents of exceptional children was positively correlated with parental status, occupation, degree of impairment and the institution attended, and negatively correlated with the placement of the child in a regular kindergarten.Conclusions: By establishing a sound education system for children with special needs and increasing employment opportunities for parents of children with special needs, as well as conducting regular parent training and parent group support activities, these measures can effectively reduce the psychological pressure on parents of children with special needs.This study is the phased research achievement of 2023 Guangxi Education Science \u201c14th Five-Year Plan\u201d Topic: Mental Health Status and Service System Construction of Sound healthy siblings in Families with Special Children, Project No.: 2023B145.a, Kai Lia, Haonan Zhenga, Zhihu DingaWangwang Zenga Information Center, The First People\u2019s Hospital of Yunnan Province, Kunming 650032, China.WZ and KL contributed equally to this study.Background: With the continuous development of information technology and the continuous improvement of people\u2019s living standards, more and more people have put forward higher requirements for physical and mental health. While information technology has promoted the rapid development of hospitals, it has also produced a large number of redundant data. Patients have put forward higher requirements for the construction of hospital informatization. This paper will improve the quality of hospital data through a series of data governance measures, Improve the clinical business processes of hospitals to ensure their efficient operation. Through various national assessments such as interconnectivity ratings, three-level public hospital performance evaluations, and electronic medical record ratings, we aim to meet patients\u2019 requirements for hospital informatization construction to the greatest extent possible, enhance people\u2019s sense of medical service happiness, and ultimately promote the high-quality development of modern hospitals.Subjects and Methods: A special team for data governance was set up, a series of data governance rules and regulations were formulated, and software tools of the multi-party data governance platform were introduced. The team members regularly investigated the psychological needs of patients during diagnosis and treatment, and obtained specific opinions of patients on the hospital\u2019s diagnosis and treatment process and information system. Then, the diagnosis and treatment process was optimized, and the information system was transformed to meet the psychological needs of patients to the greatest extent, and improve the happiness of patients during the medical treatment process.Result: The outpatient volume and operational data of discharged patients in the hospital have significantly improved. The outpatient volume of the hospital has increased significantly for five consecutive years, and the average waiting time of patients has decreased for five consecutive years. In the questionnaire survey, it was found that the satisfaction of patients who came to the hospital for medical treatment has been greatly improved, their psychological needs have been met, and their sense of happiness has significantly improved. The hospital has made two consecutive breakthroughs in the performance evaluation ranking of tertiary public hospitals, and ranks first in the province through the interconnection of Class IV and Class AConclusion: Through data governance, various data indicators of the hospital have been significantly improved, and the hospital has developed at a high speed. Every year, the hospital can provide more patients with better quality diagnosis and treatment services. When patients come to the hospital for treatment, they always have a relaxed and happy diagnosis and treatment experience. While diagnosing and treating patients\u2019 physiological diseases, the psychological needs of patients have also been more satisfied, and the happiness of patients in the area has been greatly improved.This work was supported by a project grant from Yunnan Provincial Basic Research Program (Grant No.202201AY070001-258).a, Hanteng Liaob, Shaohe ZhangcHui Liua Business School, Nanfang College GuangZhou, Guangzhou 510970, China, b Higher Education Impact Assessment Center, Nanfang College GuangZhou, Guangzhou 510970, China, c School of Economics, Guangzhou College of Commerce, Guangzhou 511363, China.Background: To realize the practical theoretical innovation of industrial Internet combining modern service industry and advanced manufacturing industry, it is necessary to integrate the existing mainstream theories of sustainable transformation and update the meaningful case studies. Satisfying consumers\u2019 psychological needs and emotional behavior is key to promoting consumer upgrading under the new development pattern of \u201cdual circulation\u201d. The innovative practice theory of industrial Internet can provide more personalized, convenient, and efficient products and services, enabling consumers to enjoy pleasure and satisfaction in the purchasing process. This further enhances consumer loyalty and reputation for brands, bringing greater commercial value to businesses.Subjects and Methods: This paper uses theoretical analysis and case study methods. Based on the practical achievements of Rookie Network, this study firstly analyzes the development process of Rookie Network, as a logistics link under the digital economy, from the earliest information platform to intelligent logistics system with the mainstream theory of Industry 4.0 \u201cCyber-Physical System\u201d (CPS). As the mainstream multi-perspective sustainable transformation \u201csocial-technical system\u201d theory of sustainable transition, CPS is used to demonstrate and analyze the transition process of rookie network from the earliest odd-job economic platform to the \u201clow-carbon\u201d social-technical system that provides consumers with high-level emotional value and upgrades consumer experience.Results: The construction of intelligent logistics based on consumer psychological needs of intelligent logistics construction from C-end consumers and consumption scenarios must include the overall theoretical view of Industry 4.0 CP Logistics and multi-perspective sustainable transformation \u201csocial-technological system\u201d. Only in this way can logistics companies meet consumers\u2019 increasingly high demands on logistics. Help them to get logistics information quickly and accurately. Enjoy convenient and efficient logistics services, and improve the sense of experience and service quality in the logistics process. Get a sense of pleasure and satisfaction over good logistics services.Conclusions: It can ensure that the digitalization and digital transformation capabilities at the consumer side can be extended to the working side of commerce and industry, and drive the industrial transformation and upgrading path of advanced manufacturing industry with the deep integration of digital capacity building. Thus, enterprises can better understand consumer needs and launch products and services that meet their psychological needs and emotional behavior more accurately, and sustain development.This work was supported by two projects grant one from Nanfang College, Guangzhou A study on the influence of hog futures on hogs and the industry chain price of hogs (Grant No. 2021XK25), the other from The reform of digital teaching mode of Internet finance based on project management, a general project funded by the 14th Five Year Plan of China Association of Higher Education - A case study of Theory and Practice of Internet Finance (Grant No.21SZYB29).aJie Lia MBA Center, Shanghai University, Shanghai, 200444 China.Background: To alleviate the problems of extensive production, insufficient investment in cold chain, high transportation loss, and asymmetric information in China\u2019s agricultural product supply chain, regulate the management of the agricultural product supply chain, meet consumers\u2019 psychological needs for high-quality agricultural products, and guide suppliers to optimize the agricultural product supply chain mode based on consumers\u2019 attitudes, emotions, and hobbies.Subjects and Methods: Based on consumers\u2019 psychological needs for tea product quality, this paper took the agricultural standardization policies issued by 16 provinces in China as the basis and applied the panel data from 31 provinces between 2000 and 2020. Multiple-period difference-in-difference (DID) method was used to study the growth effect of the agricultural standardization work plan on the tea industry in China.Results: The results showed that the promotion of agricultural standardization work and the support of relevant policies can promote the growth of local tea production and also have a promoting effect on the growth of local tea value. Furthermore, it can effectively meet the psychological needs of consumers for high-quality tea, and influence consumers\u2019 purchasing motivation and behavior.Conclusion: Agricultural standardization has a positive impact on the yield and output value of agricultural products, is an important guarantee for promoting the development of the agricultural industry, and is also an important prerequisite for the standardization construction of the agricultural supply chain. It is recommended that China accelerate the research on the standardization of agricultural product supply chain, and take specific measures such as \u201ccontinuously strengthening the standardization of agricultural product supply chain, developing universal agricultural product supply chain standards; strengthening the construction of organizational guarantee measures to ensure the implementation of agricultural product standardization plans; strengthening the construction of logistics infrastructure to enhance the responsiveness of agricultural product inventory and distribution\u201d. This provides new ideas, new methods, and new channels for China to carry out agricultural product standardization construction, meeting consumers\u2019 psychological needs for agricultural products\u2019 freshness. Additionally, this has important theoretical and practical implications for the quality upgrading of agricultural product circulation.a, Kexiang Chenga, Xiaolin TanaCunbo Wua Chongqing Mental Health Center, Gele Mountain, Shapingba District, Chongqing,400036, China.Background: Autism comorbidities of mental retardation and epilepsy with cisterna magnum occipitalis in children are rare, Early recognition by clinicians is difficult, which led it easy to be neglect and difficult to thrapy that affect the children\u2019s mental health and physical health and increased the burden on the familySubjects and Methods: A child with autism comorbidities of mental retarded development and epilepsy with cistercius macroccipitalis was promptly treated with oxazepine for antiepilepsy from Chonging mental health center, he was emotional unstable, irritable, impulsive wounding, accompanied by obvious mental symptoms and anxiety, repeated toilet visits, could not speak human language, could not take care of his own life. We used Risperidone oral liquid for antipsychosis, Quetiapine combined with Ziprasidone injection for mood stabilization, completed relevant auxiliary examination, supplemented by rehabilitation training such as psychotherapy, behavior modification, hypnotherapy, biofeedback therapy to promote the rehabilitation of the child.Results: The child became emotional stability, not irritable, impulsive, hurtful and anxious feelings any more, mental symptoms gradually disappeared, could cooperate with simple educational training, although discharged automatically.Conclusions: Autism comorbidities with severe mental retardation and epilepsy are rare and difficult for clinicians to treat due to communication difficulties. Autism and mental retardation mainly rely on education training and psychotherapy, while epilepsy and primary disease caused by mood disorders, clinical psychiatry mainly medicated to solve. The patient is accompanied by large cisterna, whether it is the cause of the disease or coincidence, and whether it is used as the auxiliary basis for diagnosis, needs a large number of clinical samples and data to study. For such patients, it is also necessary to be cautious in drug use. Due to the retarded neurological development, the drug sensitivity is reduced and the drug tolerance is easy, so the choice of drugs should be more careful. Early identification, timely antiepileptic treatment and appropriate drug sedation therapy are very necessary for clinicians to pay attention to Comorbidities of mental retardation and epilepsy in children.aWeiwei Liua Basic Teaching Department Shandong Huayu University of Technology, Dezhou, Shandong, 253000, China.Background: From the perspective of mental health, this paper uses cognitive psychology, personality psychology and Nida\u2019s functional equivalence theory to further explore the translation strategies of English film and television drama language, so that film and television art can better play the role of film and television art in people\u2019s mental health and personality. The positive role of shaping clarifies the linkage relationship between the translation of film and television texts in promoting people\u2019s mental health and all-round development, in order to provide reference for the development of film and television style translation.Subjects and Methods: In order to promote the healthy development of people\u2019s mental health, this paper discusses the principles, methods and strategies of film and television translation on the basis of analyzing and summarizing the characteristics of film and television stylistic language - colloquial, easy to understand, cross-cultural and immediacy. According to the different contexts, semantics, and discourse conditions of specific translation examples, the principles and effects of the application of translation, free translation, abbreviated translation, and compilation strategies are emphasized.Results: In the process of translating film and television scripts, the translator must face the audience and give more consideration to the audience\u2019s objective needs, aesthetic taste and acceptance level, so as to finally achieve harmony and unity between the audience\u2019s expectations and the original intention of the translation, and improve the expression and integration of individual emotions. Control ability, promote the formation of human personality and the overall development of mental health. At the same time, we must strive to:1. Make good use of cognitive psychology theories and laws of cognitive psychology to complete the understanding and expression of the original text, actively mobilize the translator\u2019s psychological activities in the translation process, and improve the quality of translation.2. Make good use of the positive influence of personality factors in the translation process of film and television style, determine the translation objects and expressions, maintain the original style, and improve the translation quality.Conclusions: The translation of film and television style should not only pay attention to the expression of artistic techniques and stylistic characteristics, but also be people-oriented. It is absolutely necessary to promote people\u2019s mental health. Carrying out the translation strategy research of film and television style from the perspective of mental health can not only make the translator\u2019s personality tendency and film and television text realize two-way adaptation, but also make the correlation between the translator\u2019s cognitive activity law. The people-oriented concept has been deeply integrated, and the translator\u2019s emotional activity rules have been fully reflected in the translation examples, which has opened up a new path worth trying for the translation of film and television genres.This article is the phased research result of the 2019 scientific research platform research project of Shandong Huayu University of Technology - Applied Translation Research Center (No. 09) and College English Curriculum Construction.aChin-niang Chana School of Art, Minnan Normal University, Zhangzhou, Fujian, China.Background: As a product of artistic development, traditional Chinese opera is associated with human emotions through the process of visual and spiritual experience, thereby having a profound impact on human mental health. Through in-depth analysis of how traditional Chinese opera art affects emotions through visual experience, this study explains the close relationship between traditional Chinese opera art and mental health from a micro perspective, using the way that traditional Chinese opera art affects mental health.Subjects and Methods: This study examines the relationship between art and mental health in art therapy, using art based techniques such as traditional Chinese opera music as evidence based interventions for mental health issues such as anxiety and depression. More and more evidence suggests that art can be used in non-therapeutic environments to promote mental health, such as performing arts to understand the core subject areas of a school or to maintain a sense of mental health. In other words, practicing art can be used to establish the ability to manage a person\u2019s mental and emotional health.Results: The research results show that art affects mental health, and the healing effect of art works needs to be carried out to the extent that the audience can understand. If opera has a psychological relief and healing effect on the audience, then the art works or performers of this opera are effective for these audiences. The direction of this study is to focus on the artistic works themselves, as well as the psychological world and healing function of opera performances, in terms of art and mental health.Conclusions: The impact of traditional Chinese opera art on mental health is mainly produced through aesthetic experience. In the process of creating traditional Chinese opera art, individuals tend to pay attention to the expression of their physical and emotional tendencies in the actual inner experience of the artistic work; In the process of appreciating traditional Chinese opera art, individuals experience emotional flow and emotional release through re-experiencing the emotions expressed in artistic and technical works. The integration of artistic experience and artistic techniques can enable an individual to gain respect for their own feelings, thereby achieving the release and sublimation of the surrounding environment within. Show the artistic style characteristics of Gezi Opera and its healthy body and mind.a,b, Jie Fuc, Chi ZhangaTuo Shia Beijing Police College Department of Public Security Management, Beijing 102202, China, b Institute of Scientific and Technical Information of China, Beijing 100038, China, c Beijing Miyun District Administration Bureau, Beijing 100050, China.Background: With the increasing application of artificial intelligence (AI) in the field of public security and law enforcement, its integration into the practice of law enforcement is no longer a one-dimensional technical innovation, but a multidimensional empowerment that includes promoting the formation of multi-subject collaborative governance models, forcing upgrades of supporting institutional frameworks for public security, and driving the technological transformation of law enforcement methods. While AI has effectively improved law enforcement efficiency, it has also brought risks such as discrimination, privacy infringement, and deprivation of rights, causing psychological anxiety about technology.Subjects and Methods: This study discusses the negative effects of law enforcement caused by technology defects. It is supported by the theoretical framework of comprehensive public security and law enforcement, and integrates methods such as situational analysis and systematic deconstruction. The study systematically analyzes the types of psychological anxiety risks caused by AI technology integration into law enforcement, and investigates the inducements and impacts of psychological anxiety from the multidimensional perspectives of structural imbalances of the law enforcement subject, ineffective governance systems, and technological alienation.Results: From the perspective of the relationship structure of governance subjects, the monopoly of AI technology resources undermines the original intention of promoting the participation of multiple subjects in governance, and can even cause risks such as social disorder and psychological imbalance caused by the feeling of injustice among subjects. It becomes a huge obstacle to the modernization of governance capacity, deviating from the governance goal of \u201cjoint construction, joint governance, and sharing\u201d. From the perspective of the role of governance subjects, it causes further polarization and even group isolation and confrontation among social subjects, and algorithm-driven social polarization and even group isolation and confrontation causes more serious psychological disorder. From the perspective of technological alienation, over-reliance on data algorithms and the risk of uncontrolled application bring insurmountable psychological anxiety to subjects.Conclusions: The study results show that the main ways to effectively alleviate the psychological anxiety of subjects at the technical level include: the government\u2019s comprehensive coordination of the structural relationship among multiple subjects under the embedding of AI, promoting the formation of a multi-subject collaborative governance pattern, following up and improving warning decision-making, information resource sharing, and public security and crime prevention and control systems, and accelerating the construction of an \u201cAI governance system\u201d.This work was supported by a project grant from National Social Science Foundation Youth Program (Grant No.21CSH05).a, Shi Zhengb, Feng HuaWeichao Chenga School of Economics and Management, West Anhui University, Luan 237012, China, b School of Business, Sichuan University Jinjiang College, Meishan 620860, China.Background: The collapse of stock price will quickly evaporate the wealth of shareholders, greatly increasing their anxiety. Anxiety can have a dual impact on people\u2019s physical and mental well-being, Anxiety can bring complex and unpleasant emotions such as tension, unease, worry, annoyance, Insomnia and dreaminess to people, thereby affecting family harmony and happy life. Due to the late development of China\u2019s capital market, there is room for improvement in China\u2019s market regulatory mechanism and legal system, and the stock price crash risk are higher risk.Subjects and Methods: This paper using the Shapley-Shubik power index, which is based on cooperative game theory, and investigates the impact of major shareholders\u2019 shareholding structure on the psychological anxiety of shareholders, based on the perspective of stock price crash risk. stock price crash risk by examining a sample of A-share listed companies in China from 2003 to 2018. This study uses regression methods such as least squares to empirically test the research hypotheses proposed in this paper.Results: The study finds that: (1) Cash flow rights significantly reduce stock price crash risk, alleviated the anxiety of shareholders. The separation of cash flow rights and control rights significantly increases such risk, increased the anxiety of shareholders. While the control rights have no significant effect on the stock price crash risk; (2) More supportive behaviors and fewer hollowing-out ones play a partially intermediary role in the suppression of stock price crash risk by the cash flow rights, whereas fewer supervisory and more hollowing-out behaviors play a partially intermediary role in the crash effect of separation degree of control and cash flow rights.(3) The more powerful a firm\u2019s management and the weaker its external supervision, the more significant the role of the cash flow rights in suppressing stock price crash risk, and the more conspicuous the crash effect of separation degree of control and cash flow rights.Conclusions: Cash flow rights significantly alleviate the anxiety of shareholders, while the separation of cash flow rights and control rights significantly increases the anxiety of shareholders. The findings of this paper could provide useful theoretical and practical guidance for optimizing firms\u2019 shareholding structure, suppressing the risk of share price collapse, improving the quality of listed companies, promoting the stability of capital markets, and alleviating the anxiety of shareholders.This research was funded by West Anhui University Talent Introduction School Research Start-up Fund Project (No. 00701092302) and Youth foundation of SCUJJ (No. QNJJ-2022-A07).a, Yun YangbLing Miaoa The CPC Henan Provincial Party Committee Party School, Zhengzhou 451464, China, b School of Economics and Management, Zhongyuan University of Technology, Zhengzhou 450007, China.Background: As one of the most important social relationships in market economy, the labor-capital relationship is \u201cthe axis of rotation around all modern social systems\u201d (Engels). Nowadays, this relationships under China\u2019s \u201cnational integration model\u201d has basically completed the market-oriented transformation, but the labor-capital dilemma has become increasingly severe. According to the Chinese Law Blue Book, labor-capital incidents have accounted for 36.5% of China\u2019s mass incidents, which become major threats to China\u2019s economic and social construction, possible solutions thereby are needed. And in the current era where emotional health is becoming increasingly important, using emotional behavior as a research entry point can more intuitively reflect internal mechanisms and problems.Subjects and Methods: Based on the statistical data from 2000 to 2015, this paper concludes that (i) the number of mass labor disputes is proportional negative correlated to the labor compensation, while (ii) the number of mass labor disputes is proportional positive correlated to the capital property income with the cointegration theory and the generalized impulse response function. This paper studies the endogenous relationship between the loss of labor property rights, the decline of labor compensation proportion and the \u201coutside institutional struggle\u201d under property rights theory. Combined with data validation, it verifies the relationship between emotional behavior and large-scale industrial events, and verifies that emotional behavior can have an impact on industrial events.Results: We propose to (i) increase the proportion of labor compensation at the initial distribution stage as the reform direction; (ii) improve the \u201cthree rights of labor and capital\u201d; (iii) establish a long-term mechanism for wage growth; and (iv) develop the redistribution and adjustment mechanism of compensation to solve the problems mentioned above. And attention should be paid to the prevention and guidance of negative emotions and unhealthy behaviors caused by negative emotions.Conclusions: The decline in the proportion of labor compensation does not necessarily lead to mass labor incidents, but in a long run, labor compensation and capital property income have a causal relationship with mass labor disputes. That is, the continuous decline in the proportion of labor compensation makes workers fall into a psychology of disadvantage and their \u201cdeprivation feeling\u201d become solidified. An accidental event may lead to the mass labor-capital incidents. Furthermore, the consequence of the generalized impulse response function indicates that the number of mass labor disputes is negative correlated to labor compensation, while positive correlated to capital property income, which presents a crowding effect on labor compensation. Obviously, the long-term crowding effect of the labor compensation and the continuous decline of the labor compensation ratio have become the inherent reasons for mass labor and capital incidents. The prevention and guidance of emotions and behaviors can effectively solve the current practical problems in enterprises or society. Therefore, the prevention of negative emotions and the guidance of unhealthy behaviors caused by negative emotions are urgent.The period research results of the National Social Science Fund General Project \u201cResearch on the Fire-retardant Mechanism and Governance of Massive Labor Incidents Network\u201d (No. 18BGL237).a,b, Boping TianaJinyang Liua School of Mathematics, Harbin Institute of Technology, Harbin 150006, China, b School of Statistics, Chengdu University of Information Technology, Chengdu 610103, China.Objective: It is common knowledge that in the history of the world\u2019s medical development, various infectious diseases have been the most dangerous and deadly diseases for human health. Considering that the virus has not been fully explored and the scale of contagion is becoming more and more widespread, there is an urgent need for timely prediction of the spread of infectious diseases. With the continuous development of artificial intelligence in recent years, deep learning techniques have been used to predict infectious diseases in addition to traditional prediction methods. Therefore, proposing prediction models with better performance based on depth techniques is the main objective of this study.Methods: Long short-term memory (LSTM) and convolutional neural networks (CNN) are deep learning models, both of which perform well in predicting time-series data. Based on summarizing previous studies, the LSTM based on scaled dot-product attention and the CNN combined with feature-wise linear modulation (FiLM) were proposed. These methods improve the ability to capture key information about infectious diseases, which in turn improves the predictive performance of the model. To evaluate the fitting performance of those models, LOSS, RMSE, Pearson coefficient, and R2 of models were calculated in this study.Results: The fitting results of Scaled Dot-product Attention-LSTM and CNN-FiLM on time series data of infectious diseases from four countries were obtained based on Python. In conjunction with the calculated results of the evaluation metrics for model fitting, it can be seen that the two methods proposed in this study, based on Scaled Dot-product Attention-LSTM and CNN-FiLM, are suitable for the effective prediction of infectious disease time series, and both methods have improved to some extent in terms of model fit. Compared with Japan and Armenia, the two improved methods were relatively better fits for the epidemic data from China and India.Conclusions: To ensure effective prediction of infectious diseases, it is necessary to actively explore the establishment of excellent methods and models, strengthen the ability of models to be applied to different data, and minimize the error rate in prediction. Scaled Dot-product Attention-LSTM and CNN-FiLM can be easily adapted to many different temporal data analysis tasks, which greatly increases the scalability of time series prediction models. This study makes some attempts at the prediction methods and models of infectious diseases, and the research results may play a certain role in the effective response to similar infectious diseases that may occur in the future.This work was supported by a project grant from the Natural Science Foundation of China(NSFC) (No.91646106).a, Zhihui Yangb, Jing Caoc, Zhi FangdXihuang Laia Graduate School, North China University of Technology, Beijing 100144, China, b Brunel London School, North China University of Technology, Beijing 100144, China, c School of Electrical and Control Engineering, North China University of Technology, Beijing 100144, China, d School of Humanity and Law, North China University of Technology, Beijing 100144, China.Background: As the fresh troops in national innovative talents cultivation, postgraduate education shoulders the important mission of building China into a world leader in science and technology. However, the increasingly complex international environment and fierce competition of employment prospects make postgraduates bear great pressure. Some students even have mental problems. In order to alleviate the anxiety of the postgraduates nowadays, we put forward the goal of all-round development of talent cultivation on the basis of mental health with the corresponding assessment indicator system, trying to cultivate the sound personality and comprehensive quality of graduate students from the macro level of management and the micro level of personal development.Subjects and Methods: Firstly, through the method of literature survey, this paper analyzes in detail the practical dilemma and implementation bottleneck of mental health education based on physical, aesthetic and labor development at the graduate level. Then it combined with the management characteristics of our school, as well as the mental education, to establish a cultivation framework for the all-round development of graduate students. Secondly, according to the requirements of the comprehensive development in moral, intellectual, physical, aesthetic and labor aspects, and the demand of innovative-applied talents, we designed a relatively systematic questionnaire about postgraduate learning experience and mental health status, and carried out long-term data survey of our graduate students. On this basis, we further optimized the process of talent cultivation by putting forward the implementation strategy of \u201cmoral and intellectual education as the foundation, mental health education as the connection, practice as the way, team as the body part and multiple educations working together\u201d.Results: Under the influence of the reform of the postgraduates\u2019 comprehensive development mechanism of our university, the self-assessment survey of postgraduates\u2019 learning experience and mental health in recent two years shows that their degree of satisfaction with the work of multi-education integration carried out by our university is on the rise. We have successfully diverted students\u2019 attention and relieved their psychological problems caused by employment pressure, academic pressure, classmate relationship and emotion factors through conducting physical, aesthetic and labor education. And we have gradually shaped students\u2019 healthy psychology and sound personality as well as guide their all-round development in the process of education.Conclusions: The mental health of graduate students has been paid more and more attention, and universities are focusing on solving students\u2019 mental problems. We promote the organic integration of five educations with mental education, continue to improve the assessment system of graduate talent cultivation and optimize the implementation approach, urge the graduate management department to enhance the working methods through the way of assessment, and guide the graduate students to form good research habits and healthy mental state, to further improve the quality and effectiveness of graduate education. It is believed that the implementation strategies will provide a strong support and guarantee for cultivating high-level talents with excellent professional quality, noble character and mental health.This work was supported by the ideological and political work research project of Beijing universities (support project): Construction and implementation of the comprehensive development of postgraduates oriented by ability cultivation (Grant No. BJSZ2021ZC63), the Beijing higher education association project : Exploration and research on the quality evaluation of graduate practice in the new era (Grant No. MS2022291).aXuemin Zhua School of Foreign Languages, Sichuan University Jinjiang College, Pengshan, Sichuan 620860, China.Background: L2 motivation research has already attracted much attention in L2 field and this paper mainly focuses on the explorations of possible causes of low motivation in English learning in colleges of China and L2 motivational strategies in English Teaching of Chinese Context. Under the condition of maintaining and improving students\u2019 mental health, the investigation of the demotivation in EFL classrooms also takes psychological factors into consideration, which would probably help Chinese students ease academic stress and relieve anxiety in EFL classrooms, with the purpose of building students\u2019 confidence in L2 learning. Motivational problem also could be part of the contributions to promoting more effective language learning and teaching.Subjects and Methods: On the basis of related literature review, a qualitative research method is adopted in this study and therefore observation is chosen to be employed as the major method in the research. Meanwhile a case study is conducted among the college students. The discussing objects are mainly confined to the non-English majors who are studying in some colleges of the southwest city of China, in order to make the topic more clearly defined and elaborated.Results: Motivation to learn a foreign language depends on how much the individuals would like to learn L2 and how much satisfaction they would gain during the process of learning. In observational studies, the target learners have low motivation in EFL classrooms and the demotivating factors involves a series of problems, among which negative attitudes towards language learning have detrimental influence on the success of acquiring L2. Negative attitudes towards EFL classrooms may be caused by some psychological factors, including classroom anxiety and academic stress. Teaching methods, classroom atmosphere, teacher-and-student relationship and facilities problem are also taken into account.Conclusion: Negative attitudes are common and unavoidable in the discussed context, however, there is a more general recognition that suitable strategies may offer good chances to convert negative attitudes towards L2 learning into positive ones and even promotes the enjoyable process of language learning in some interesting ways. Moreover, this paper examines the teachers\u2019 role of setting up rapport with students in the motivational perspective and how it works as a spur to make L2 learners more confident and engaging in English learning. It also illustrates how important it is to create a pleasant and supportive environment for L2 learners to ease the pressure and anxiety in the process of language learning.a, Chunting DiaobRuiyue Zhua Clinical College of Traditional Chinese Medicine, Hubei University of Chinese Medicine, Wuhan, Hubei 430061, China, b School of Medical Humanities, Hubei University of Chinese Medicine, Wuhan, Hubei 430070, China.Background: Alzheimer\u2019s disease has become one of the epidemic diseases in contemporary human society. In recent years, the number of elderly people in China has increased year by year, and the aging process has obviously accelerated. Among them, people with Alzheimer\u2019s disease in China have occupied a large proportion of the population. Alzheimer\u2019s disease, as an elderly disease that will lead to serious consequences and extensive effects, should attract people\u2019s extensive attention. Emotional therapy of Traditional Chinese Medicine is a kind of therapy based on the theory of Traditional Chinese Medicine, which is simple to operate and rarely has side effects. This paper discusses the effect of emotional therapy of Traditional Chinese Medicine on improving Alzheimer\u2019 s disease, and provide the application path.Subjects and Methods: Research subjects are elderly patients with Alzheimer\u2019s disease, generally considered to be 45 years old and above. Patients receive treatment from the emotional theory of Traditional Chinese Medicine, mainly including transforming emotions, meeting demand, dispelling doubts, diverting attention, hinting to switch ideas. This paper uses the method of literature review to sort out and analyze the literature related to emotional therapy of Traditional Chinese Medicine and Alzheimer\u2019s disease in recent 20 years.Results: The theory of emotion of Traditional Chinese Medicine emphasizes that the human body can help repulse the influence of negative emotions by mobilizing the positive emotions of the whole body, restore the body to a peaceful state, and balance the function of viscera thereby relieving or treating various diseases. Depending on the patient\u2019s condition, different Traditional Chinese Medicine emotional therapies can be selected. When the patient is emotional, transforming emotions therapy can be selected. When the patient has requirements, meeting demand therapy can be selected. In addition, the patient can also be enlightened by dispelling doubts therapy firstly. If the effect is unsatisfactory, hinting to switch ideas therapy can be continued. Based on the above, Traditional Chinese Medicine treatment mainly based on psychotherapy can effectively improve the symptoms of Alzheimer\u2019s disease.Conclusions: Traditional Chinese Medicine emotional therapy can effectively regulate the abnormal emotions of patients, help patients to release themselves, obey their wishes, and promote physical and mental health. It has a positive effect on improving the symptoms of patients, and is worthy of comprehensive promotion.This work was supported by a project grant from the Hubei Provincial Department of Education\u2019s Philosophy and Social Science Fund Project in 2020 (Grant No.20Q075).a, Nur Syuhada binti Mat Sina, Afeez Nawfal bin Mohd Isaa, DuoBao ChenbQi Chena Sultan Idris Education University, 35900, Tanjong Malim, Perak, Malaysia, b Anhui University of Science and Technology, 232001, Huainan, Anhui, China.Background: The development of new media has brought significant changes in the way people communicate and engage with the world. However, elderly people may struggle to keep up with the fast-paced technological advancements due to changes in their cognitive and physical capabilities. The prolonged exposure to new media may have adverse effects on senior mental health, such as depression, anxiety, and loneliness. Moreover, seniors\u2019 decreased ability to concentrate and process information may lead to difficulty in navigating complex digital interfaces, resulting in low adoption rates. It is crucial to consider the changing behavior and mental health of elderly individuals when designing digital technology to ensure inclusivity and accessibility for all age groups.Subjects and Methods: In this research, by analyzing the consumption demand and usage status of new media among elderly people, as well as the factors affecting their sense of happiness in life. we propose measures to optimize the new media platform, establish a comprehensive system for the elderly to enhance their living quality and mental health.Results: By analyzing a quantity of files, the elderly prefer simplicity and may become more conservative in their thinking. They still require social interaction, particularly spiritual support from loved ones. A user-friendly media application could help bridge the digital divide for them. In this research, conducting several points to elaborate key direction for improving the elderly\u2019s living experience and mental health.Conclusions: The proposed measures not only aim to improve the usability and accessibility of new media platforms for seniors but also promote their digital literacy, social engagement, and overall well-being. Through technology training classes and user-friendly interfaces, seniors can enhance their digital skills and feel more confident and connected while using new media. Additionally, optimizing new media platforms to meet the specific needs of the elderly, such as larger fonts, simpler navigation, and audio instructions, can significantly improve their user experience. Ultimately, promoting the adoption of new media among seniors can bring substantial benefits, including improved mental health, social connectedness, and quality of life.a, Yuewu Zhenga, Rumeng Tiana, Lei Pengb, Mushan LiaYing Zhanga School of Emergency Management, Henan Polytechnic University, Jiaozuo 454003, China, b School of Energy Science and Engineering, Henan Polytechnic University, Jiaozuo 454003, China.Background: In recent years, frequent occurrence of public health emergencies posed a serious threat to social public security. After the occurrence of public health emergencies, people concern about their own health and the unstable situation, along with media and public opinion out of control, emotion focused coping and irrational behavior happen frequently. As the important factor of responding to public health emergencies, public risk perception has important practical value. Therefore, studying the influencing factors of public risk perception under public health emergencies can help the government guide to respond to public health emergencies, so the public\u2019s risk perception ability will improve, and minimize the serious consequences of public health emergencies.Subjects and Methods: First of all, based on the PSR (Press-State-Response) model this article identifies and analyzes the influencing factors of public risk perception. It is concluded that the inherent risk of public health emergencies, the actual progress of the event, the government response, and the media communication as influencing factors and the degree of reaction of the public\u2019s own response behavior as dependent variable to interpret public risk perception level. Secondly, integrating previous research achievements, a theoretical model is constructed based on the research hypothesis of influencing factors of public risk perception under public health emergencies. Thirdly, data are obtained through questionnaire survey, and empirical analysis is conducted using structural equation models. Finally, this article proposes countermeasures and suggestions for scientifically optimizing the level of public risk perception.Results: The inherent risk of events and media communication have a positive impact on public risk perception; The actual progress of events and government response have a negative impact on public risk perception.Conclusions: Improving the public\u2019s risk perception ability, optimizing existing emergency management policies, strengthening the government\u2019s risk communication ability, and improving the media\u2019s risk information dissemination can improve the public\u2019s risk perception ability, and provide a decision-making basis for guiding the public to respond scientifically to public health emergencies.This study was supported by the General Project of Humanities and Social Sciences Research in Henan Universities (2021-ZDJH-0139), the Key Science Research Project in Universities of Henan (21A630015), Ph.D. Fund of Henan Polytechnic University (B2017-62), China Engineering Science and Technology Development Strategy Henan Research Institute Strategic Consulting Research Project (2023 HENZDB 05) and the Teaching Reform Research Project of Henan Polytechnic University \u201cExploration and Practice of Safety System Engineering Teaching Reform in the Perspective of New Engineering\u201d.aMingyue Suna Nanchang Institute of Technology, Nanchang, 330000,China.Background: In the film Wrath of Silence, due to illegal mining and urbanization, the dual contradiction between urban and rural areas becomes increasingly prominent, forming a completely different social landscape between rural and urban areas. Under the influence of psychological pressure, people living here adopt different ways of making a living, forming a distinct pyramid shaped social structure. In the psychological context, the \u201csilence\u201d of the lower class is a passive and ineffective struggle, while the \u201csilence\u201d of mining owners from the emerging upper class and lawyers from the middle elite class is an active choice. The film intuitively displays the negative psychology of anxiety, inferiority, depression, mania, cowardice, suspicion, greed, indifference, etc. among the pyramid class population. The dual dilemma of physical and psychological forces people belonging to different classes to implement a breakthrough in reality.Subjects and Methods: By talking about the film semiotics analysis, this paper deconstructs the structure of the story hidden in the text and the expression method of the text from the perspective of story, narrative time, narrative space and expression techniques. The details considered from a psychological perspective are as follows. First, through the dual tone of the film\u2019s realism and surrealism (magic) coexistence, we examine how the film establishes the style and tone of the entire film. Secondly, it deconstructs the pyramid shaped social structure through the gaze perspective in Freud\u2019s psychoanalysis. This tower shaped display image symbol is in line with the contemporary Chinese landscape of class opposition and interest conflicts. The collapsed and imbalanced hierarchical structure makes the tragedy presented in the film more profound and powerful. Third, by reconstructing the time sequence of the film, the deeper meaning of metaphors in each image symbol is deciphered. The film examines the different desires pursued by people of different classes.Results: Different from other crime suspense genre narrative films, to find the child is the starting point of the film, but not around the crime committed or crack crime to narrate. Instead, from the Gestalt film theory of mind, a large number of plots are left blank. Through a large number of symbols and plot blank, the audience can think and feel who is the real villain. The film seems to be looking for children, but in reality, it is the pursuit of different desires by people from different social classes.Conclusions: This study focuses on the imbalance of urban-rural development through the film Wrath of Silence, and explores the reality of the physical and mental plight of people in China\u2019s classes, especially in the rural areas, exploring the social symptoms of the upper class\u2019s loss of attitude, the middle class\u2019s loss of morality, the bottom class\u2019s loss of speech, and the earthly disorder. And the complexity and diversity of mental health issues will also lead to diverse discussions on the desires, difficulties, and psychology of different social classes in rural China. Furthermore, it brings positive psychological thinking to the audience, in order to alleviate negative psychology such as anxiety, stress, and suspicion.a; Zhongyan LinbKexin Jianga The Bartlett School of Environment, Energy and Resources, University College London, London, WC1H 0NN, UK, bSchool of International Digital Economy, Minjiang University, Fuzhou, China.Background: A person spends most of their time indoors. The quality of the indoor environment (IEQ) has a direct impact on people\u2019s comfort and health. In this circumstance, IEQ becomes the professional\u2019s main concern. For many years, offices have been one of the main topics of research. A variety of aspects that affect office occupants\u2019 health, wellbeing, and comfort have been researched and listed by many researchers, including indoor air quality, thermal comfort, and biophilic design.Subjects and Methods: This study focuses on the comfort, health, and wellbeing of office workers. Using Alker et al.\u2018s structure of office design to produce the literature review structure, the study first develops the overall picture of office design variables with health, welfare, and comfort. Then, a variety of studies are succinctly analyzed and organized to demonstrate the most recent findings in the area. Then, biophilic design as the main focal point in this study is analyzed. With the help of the biophilic design framework, a literature analysis is conducted to summarize the most recent research and offer recommendations for workplaces to improve the health, wellbeing and comfort status of employees.Results: There is information available on every aspect of workplace design, along with their recommendations. The table of research demonstrates the validity of the framework by Alker et al. and the relationships between various elements and the comfort, wellbeing, and health of occupants. The research on biophilic design then presents an ongoing process in the field and the significance of having the biophilic design in workplaces based on the framework for biophilic design. Some of the recommendations, meanwhile, have flimsy supporting data, necessitating more investigation. There is a need to do additional quantitative research on the relationships between biophilic components and health as a result of the limited research approaches in this study and existing research gaps.Conclusions: Based on the findings, stakeholders should take the office design structure into consideration to enhance the working environment. The compiled biophilic design recommendations can help design teams and building owners further optimize their workplaces for the comfort, health, and welfare of their employees. Additionally, a larger variety of constructed surroundings should emphasize the value of biophilic design in order to enhance the relationship between humans and nature.This work was supported by project grants from The National Key R&D program, the Intergovernmental International Science, Technology and Innovation Cooperation Project (EU Horizon Project-No.2017YFE0118800); Central Financial support for Local Science and Technology Development Special (No.2018L3007); Foreign cooperation project of Fujian Provincial Science and Technology Plan (NO.2020I0040).aHua Wanga School of Marxism, Xi\u2019an International Studies University, Xi\u2019an 710119, China.Background: Starting from the value of traditional Chinese health preservation and self-cultivation culture, analyze the main manifestations of current college students\u2019 psychological anxiety, and interpret the positive role and broad value of traditional Chinese health preservation and self-cultivation culture in alleviating college students\u2019 psychological anxiety.Subjects and Methods: The article mainly analyzes and summarizes the combined methods and practical significance of alleviating college students\u2019 psychological anxiety based on traditional Chinese health preservation and self-cultivation cultural concepts and practical practices. In the process of research, the methods of literature research and induction were mainly used. The article summarized and organized the content and characteristics of traditional Chinese self-cultivation culture, as well as the manifestations of college students\u2019 psychological anxiety, including relevant concepts and practices in traditional Chinese culture, as well as the methods to solve college students\u2019 psychological anxiety summarized through practical implementation and exploration.Results: Based on the analysis of the connotation of traditional Chinese health and self-cultivation culture and the main manifestations of college students\u2019 psychological anxiety, this article explores the role of traditional Chinese health and self-cultivation culture in positively alleviating college students\u2019 psychological anxiety, the specific implementation methods, and its broader practical and world significance in the future. This provides new ideas for the management of psychological anxiety among college students, and also provides a model for applying Chinese health preservation and self-cultivation culture to a wider range in the future.Conclusions: The concepts of calmness, harmony, and self consistency contained in traditional Chinese health and self-cultivation culture, as well as traditional practice methods such as traditional Chinese medicine and Tai Chi, have a very significant effect on positively relieving the psychological anxiety of college students. From a broader perspective, China\u2019s traditional health and self-cultivation culture has more practical and extensive value in relieving psychological anxiety for a wider population in the future.a, Lintao FubJingtong Zhaoa Department of Electronic Commerce and Law, Beijing University of Posts and Telecommunications, Beijing City 100000, China, b Department of Software engineering, Beijing University of Posts and Telecommunications, Beijing City 100000, China.Background: This paper aims to study the intellectual property protection platform for intangible cultural heritage digital works based on blockchain technology. With the development of digital technology, intangible cultural heritage (ICH) works face the challenge of intellectual property protection in digital dissemination. This study constructs a new type of intellectual property protection platform by utilizing the decentralized, transparent, and tamper resistant characteristics of blockchain. The platform adopts smart contract technology to ensure the confirmation, authorization, and supervision of intellectual property rights, and ensures the traceability and tamper resistance of works through the distributed storage and timestamp functions of blockchain. At the same time, the platform also provides a convenient authorization management and copyright trading mechanism, providing a fair, transparent, and efficient intellectual property protection solution for artists and rights holders. Through empirical research and case analysis, this paper verifies the feasibility and effectiveness of a blockchain based intellectual property protection platform for intangible cultural heritage digital works. This platform can not only promote the inheritance and protection of intangible cultural heritage works, but also promote the healthy development of digital art market. In order to protect the copyright of intangible cultural heritage works, assist in the standardized collection, digital protection and dissemination of intangible cultural heritage. In terms of mental health, intangible cultural heritage has a unique therapeutic and soothing effect. Participating in the inheritance and practical activities of intangible cultural heritage can help individuals reduce stress, alleviate anxiety, and promote emotional balance and self adjustment. The aesthetic experience and artistic creation of intangible cultural heritage can also stimulate people\u2019s creativity and imagination, enhance individual self-esteem and self-confidence. In addition, intangible cultural heritage activities can promote social interaction and group cohesion, provide social support and emotional security, and help prevent and respond to mental health issues.Subjects and Methods: This article proposes a blockchain based intellectual property protection platform for intangible cultural heritage digital works to address the copyright issues encountered in the current digitization process of intangible cultural heritage works. Provide a more humane and easy to understand operation process on the platform, better fit the psychological needs of non-genetic heirs.Results: By integrating blockchain technology into the intangible cultural heritage creation and exchange platform, blockchain stores the information of intangible cultural heritage creators and works. Blockchain, as a decentralized, reliable, and secure storage technology, can provide copyright protection for digital works, as well as new ideas and methods for digitizing intangible cultural heritage and IP construction. At the same time, at the level of mental health, the use of blockchain increases the security of data, so that creators can store data more securely, so as to form a platform with a credible degree that meets the psychological expectations of the authors.Conclusions: Taking the IP digitization process of the intangible cultural heritage of Buyi people \u201cMaple fragrans Dyeing\u201d in Daihua Town, Changshun County, Guizhou Province as an example. Non-genetic heirs have a good experience on the platform, which is in line with psychological expectations. This case verifies the effectiveness of using blockchain to confirm the rights of digital works of intangible cultural heritage and further implement the copyright transformation mode.a, Yunying Shib, Fangmei LiangaYingli Guoa School of Teacher Education, Hechi University, Hechi 546300, China, b School of Big Data and Computer, Hechi University, Hechi 546300, China.Background: In schools, issues related to mental health among students have been a significant concern for several years. Before the outbreak, statistical sources indicated a significant and increasing rate of depressive disorders, suicidal behavior, and various other issues in educational institutions among students. This includes issues such as the possibility of being depressed and worst committing suicide. Thus, this qualitative study aimed to explore the Hechi University students\u2019 lived experiences with online learning during the COVID-19 pandemic. Specifically, this analyzes college students\u2019 mental health and it is influencing factors during online learning. Based on the findings recommendations were proposed and the implications were presented.Subjects and Methods: This research utilized a qualitative method of research, particularly descriptive phenomenology. The participants of the study were ten (10) students studying using the online learning platforms, they were selected using convenient sampling. The criteria for the participants\u2019 selection were students from all levels, male or female, and those using the online learning modality. Thus, they are the most suitable participants of this study as they can best give their responses and testimonials based on what they have experienced while using the new learning platform. The data gathering for this study commenced from November to December 2022. The researcher conducted in-depth one-on-one interviews in gathering the data.Results: The overall results suggested that most students expressed a wide variety of unfavorable emotions they believed they had encountered throughout the course of the global outbreak. Throughout the lockdown, several pupils expressed feelings including \u201cfrustration,\u201d \u201cconstriction,\u201d \u201canxiety,\u201d and/or \u201cdepression.\u201d After then, a few of them discussed why these feelings affected their day-to-day performance, often in significant ways. Thus, it was revealed that distance learning can be strongly demanding for the mental health of the students. Thus, assistance for student\u2019s mental health is needed during online classes since virtual learning exacerbates pupils\u2019 anxiousness throughout a disease outbreak.Conclusions: Online education was deemed to have a severe effect on the student\u2019s mental health. It was recommended that the results of this study shall be presented to the Ministry of education to provide information, plan activities, and strategies, and create innovations to provide sufficient intrinsic and extrinsic motivation to excel and improve their academic achievement and attain quality and relevant education during the pandemic.This work is supported by Guangxi Natural Science Foundation Project and Research Basic Ability Improvement Project for Young and Middle-aged Teachers of Guangxi Universities .a,b,c, Peiyun Guoa, Linbo ZhuaJing Zhaoa Institute of Human Geography, School of Tourism, Xi\u2019an International Studies University, Xi\u2019an 710128, China, bShaanxi Tourism Research Institute, Xi\u2019an International Studies University, Xi\u2019an 710128, China, c Research Center for Tourism Cooperation and People-to-people Exchange among SCO Nations, Xi\u2019an International Studies University, Xi\u2019an 710128, China.Background: Growing volume of research suggests mental health benefits of natural environments. Psychological needs and motivations of tourists of different age groups and how to promote mental health of tourists remain relatively unexplored. This research was aimed to examine association between rural tourism and mental health among tourists of different age groups.Subjects and Methods: Analyzing psychological needs and features of tourists of different ages, this study constructed a table to summarize. In addition, this research analyzed the existing resources of rural tourism in Shaanxi, China, and explored how to use these resources to meet the different psychological needs of tourists, relieve their psychological anxiety, and promote their mental health.Results: Rural tourism can promote the mental health of tourists of different ages. Adolescents face a variety of pressures, such as difficulties of interpersonal communication, heavy academic burden, excessive expectations of parents and so on, which can trigger psychological anxiety of varying degrees. Middle-aged people bear the pressure from emotion, home, work, and physical health, in the face of high-intensity work tasks in the workplace, at the same time, bear the responsibility to take care of the elderly and children in the family, is the most anxious stage of life. Unlike adolescents and middle-aged people, loneliness may cause anxiety for elderly people, especially empty-nesters who live alone. Different types of rural tourism can meet different psychological needs. Wildlife tourism can meet psychological needs of seeking novelty and knowledge of tourists. Living in the countryside with beautiful scenery, tourists can experience the natural, simple and sincere lifestyle and cultural expression of the countryside, and meet the nostalgia psychological needs. Forest tourism can enable tourists to appreciate natural scenery, enjoy quiet time, relax in fresh air, relieve the pressure of life, and promote mental health of tourists.Conclusions: People of different ages groups in modern society are under great pressure and prone to psychological anxiety. The natural environment, wild animals and homestays in rural areas can meet the psychological needs of tourists from different angles, so that tourists can obtain happiness and satisfaction, produce a positive tourism experiences, and promote the mental health of tourists.This research was supported by the Innovation Capability Support Program of Shaanxi (Program No.2022KRM038), Shaanxi Higher Education Teaching Reform Research Project (No.21BY092), Research and Practice Project on Comprehensive Reform of Postgraduate Education of Xi\u2019an International Studies University (No. 22XWYJGA08). The authors also wish to thank the editor and the reviewer for their valuable comments.aJuanmiao Shia Department of Social Work, Zhejiang University of Finance Economics Dongfang College, Jiaxing 314000, China.Background: With the development of the infant care service industry, all sectors of society gradually focus on how to create a friendly environment for infants and children. Especially the concept of \u201cchild-friendly community\u201d advocated in recent years, all sectors of society gradually focus on how to create a friendly environment for infants and children. The independent infant care service model cannot fundamentally solve the parenting pressure of young families and solve the problem of gradually decreasing child ratio. An appropriate service model is urgently needed to relieve the physical and mental pressure of infant families, promoting the healthy growth of infants and their family members. This study combined with the social organization in the process of service integration community resources to assist the practice of infant family nursery demand experience, put forward the appropriate infant nursery service intervention path-integrated service mode.Subjects and Methods: Selecting \u201cz\u201d social organization as research object, this paper expounds how \u201cz\u201d social organization integrates resources of community health service centers, voluntary service organizations and other community social organizations to provide physical, psychological and social services for infants in the community, so as to promote the healthy growth of infants and young children.Results: In this study, social organizations provide services for infants relying on child-friendly community platforms, and an integrated service model suitable for infant care needs is proposed. The integrated infants nursery care model mainly takes baby-friendly service projects as samples, integrates the resource advantages of women\u2019s federations, grass-roots civil affairs departments, medical and health organizations and medical volunteers, provides social support for infants in the community, and creates a child-friendly community atmosphere of \u201csystem-friendly, environment-friendly and service-friendly\u201d, responding to the needs of infants and families and promoting the healthy growth of infants.Conclusions: According to the practical experience of social organizations using the integrated service mode to provide services for infants in the community, it is concluded that the integrated service mode has realized the needs of infants in the community to a certain extent, and according to the practical experience of the integrated service mode, it clarifies the roles and tasks of each resource subject in the infant care and nursing. The integrated service model of infant service plays an important role in the healthy development of infant\u2019s physical, psychological and social ability.This work was supported by a project grant from the 2021 Philosophy and Social Science Planning project of Zhejiang Province \u201cResearch on the Improvement of Children\u2019s Psychosocial Ability from the Perspective of Community Governance- -Taking the Children\u2019s Friendly (Grant No.21NDQN301YB), 2023 Zhejiang Province Civil Policy Theory Research Project \u201cResearch on the Path of Social Organizations Participating in Children Friendly Services from the Perspective of Community Governance\u201d (Project No.: ZMKT202388) and the key topics of Zhejiang University of Finance Economics Dongfang College \u201cResearch on the Construction of Early Development Service System of 0-3 Year Old Children in Zhejiang Province\u201d(Grant No.2020dfy001).a, Faridah binti SahariaYarui Huoa Faculty of Applied and Creative Arts, Universiti Malaysia Sarawak, Sarawak, Malaysia.Background: The trouser production industry is in the transformation and upgrading of the attack period. Intelligent manufacturing is an important strategic direction for the transformation and upgrading of China\u2019s manufacturing industry, the emotional behavior of employees affects the organizational efficiency of the trouser production line, and the study of organizational efficiency is the core of automated production in the face of the new pattern of industry development, the trouser production line managers fully consider the emotional behavior of employees, the introduction of automated equipment to help improve the organizational efficiency of the production line It is imperative to do so.Subjects and Methods: This paper explores the factors influencing the introduction of an automated hanging system in trouser production lines in four dimensions: employee emotional behavior, i.e., intention to use, user satisfaction, and system quality and organizational efficiency, and constructs a theoretical model of organizational efficiency of an automated transfer hanging system. This study was conducted with 268 front-line employees in a Chinese trouser manufacturing company and analyzed by structural equation modeling (SEM).Results: The results showed that (i) system quality had a significant positive effect on employees\u2019 emotional behavior, i.e., intention to use and user satisfaction; (ii) user satisfaction had a significant positive effect on intention to use. (iii) Employee\u2019s emotional behavior, i.e., intention to use and user satisfaction, positively affects organizational efficiency.Conclusions: This study addresses the results of the study, fully considers the direct and positive impact of employees\u2019 emotional behavior on the organizational efficiency of the automatic hanging system, and puts forward practical and feasible guiding suggestions for trouser manufacturing enterprises to introduce automated equipment and enhance their automation and intelligent development capabilities based on meeting employees\u2019 emotional needs.a,b, Deying Lina, Zhaomin Sanga, Xin Zhanga, Jinhua Wua, Luxiang HouaXiaolan Huanga Department of Psychology, Third Affiliated Hospital of Guizhou Medical University, Duyun 558000, Guizhou China, b School of Nursing, Guizhou Medical University, Guiyang 550000, Guizhou, China.Background: To study the positive effect of cognitive therapy in rehabilitation treatment and nursing of depression in adolescents in the southern ethnic regions of Guizhou.Subjects and Methods: 1. The study subjects were adolescents with depression who were officially admitted to our hospital for rehabilitation treatment in the southern ethnic regions of Guizhou from July 2020 to May 2022. 2. They were randomly divided into a clinical pathology research experimental group and a clinical pathology control group (referred to as the control group). The control group was given symptomatic conventional drug treatment and routine nursing measures for psychiatric and psychological departments; while the experimental group was given cognitive therapy intervention on the basis of the conventional rehabilitation treatment and nursing measures of the control group. The Hamilton Depression Scale (HAMD) scores of the two groups of depressed patients before and after the intervention were compared. 3. Firstly, analyze and study the gender, age, education level, ethnicity, living environment, and other factors of the control group and experimental group of adolescent depression. 4. Use SPSS 21.0 statistical software for statistical analysis and data processing. The basic data is presented as mean \u00b1 standard deviation. Single-factor ANOVA test and post-hoc multiple comparisons (LSD method) are used for statistical analysis of the experimental and control groups.Results: The research results show that: 1. Adolescent depression is mainly concentrated in female Bouyei ethnic middle school students in rural areas. This is mainly due to the lack of care from parents for their female children while working outside the home. This should be highly valued by the school, society, and family, and proper care and frustration education should be given to left-behind children to enhance the life confidence and ability to withstand pressure of female students.2. After rehabilitation treatment intervention, the HAMD scores of the experimental group were significantly reduced compared to those of the control group. The clinical comprehensive evaluation index was significantly better in the experimental group compared to the control group, and the difference had important clinical statistical guidance significance (P<0.05).Conclusion: In the rehabilitation treatment and nursing of depression in adolescents in the southern ethnic regions of Guizhou, cognitive therapy can be effectively applied to improve the degree of depression and enhance the ability of emotional self-control. It is worth promoting in the clinical rehabilitation treatment and nursing of depression in adolescents.This research was supported by:1. 2020 Special Scientific Research Project of Nursing Discipline of Guizhou Medical University (Project No. YJ20070);2. 2023 Science and Technology Fund Project of Guizhou Provincial Health Commission (Project No. gzwkj2023-146).a, Wenlu WeibZhichao Songa School of Economics and Management, North China University of Technology, Beijing 100000, China, b School of Communication, Weifang University, Weifang 261000, China.Background: With the development and maturity of social media power, the influence of social media on the communication effect of agricultural brands is becoming increasingly apparent. Relevant practitioners feel more pressure on how to meet the psychological needs in the competition of the new industry. Some pathological competition also affects the psychological health of practitioners, such as disorderly competition and industry anxiety. The industry and society need to find answers to the problems based on development to meet individual psychological needs, solve industry pathologies, and sustainable development of agricultural brands. Research on the mechanism of agricultural products\u2019 brand communication in the social media environment will be one of the solutions. It is a generalization and summary of communication methods and effects, and a universal and replicable communication mechanism is refined based on communication practice, which can also meet psychological needs, solve anxiety problems and protect psychological health.Subjects and Methods: This article uses grounded theory and coding analysis through theoretical studies, policies, news, activity reports, and in-depth interviews on the communication of agricultural brands on various social media platforms. Through the coding analysis, the research finds the causes of industry anxiety, the conditions to meet psychological needs, and the solution ideas of pathological competition, and the article constructs a model of the influence mechanism of social media on the communication of agricultural brands.Results: Based on grounded theory, this paper sorted out 58 open codes, 26 spindle codes, and six selective codes in interviews and data screening. This paper describes and analyzes the selective codes, and the extensive data ensures the rigor and credibility of the result sources. Finally, it proposes a mechanism for agricultural brand communication that satisfies psychological needs and alleviates industry anxiety.Conclusions: Research and analysis based on grounded theory show that the influence mechanism of social media on agricultural brand communication will effectively meet psychological needs, relieve industry anxiety and improve mental health. This requires government authorities, industry associations or enterprises, and brand users to think and discuss various aspects when formulating communication strategies and developing more three-dimensional communication strategies to realize the benefits of transformation of agricultural brand communication and ultimately help the industry and practitioners to grow healthily and sustainably.aZhitao Xiaoa Department of General Education, Guangzhou Huali College, Guangzhou 511325, China.Background: With the progress of society and the development of medical technology, people need to integrate a large amount of medical resources, allocate medical tasks reasonably, and achieve higher efficiency and less wastage in completing tasks. This article presents a principle submatrix algorithm for the assignment problem where the number of medical tasks exceeds the number of people.Subjects and Methods: Firstly, we present the theory of same solution transformation for n persons and kn tasks assignment problems, followed by a principle submatrix algorithm for this type of problem. Then, we transform the medical assignment problem with more tasks than the number of people into a n persons and kn tasks assignment problem with the same solution, and finally use the principle submatrix method to find the optimal assignment of the problem. The characteristic of this principle submatrix algorithm is that it does not need to consider the overall assignment matrix of the assignment problem, only needs to perform operations locally on the assignment matrix, starting from the first order principle submatrix, and finding the optimal assignment of the problem step by step in a regular manner.Results: For medical assignment problems with more tasks than the number of people, we do not need to transform it into a balanced assignment problem where the number of tasks equals the number of people, this assignment problem is first transformed into an n persons and kn tasks assignment problem with the same solution, and then the principle submatrix algorithm is used to obtain the optimal allocation of the original medical assignment problem. The principle submatrix algorithm for this medical assignment problems with more tasks than the number of people proposed in this article is more regular and operable compared to the commonly used Hungarian method for solving assignment problems.Conclusions: The principle submatrix method proposed in this article is a polynomial algorithm with a computational complexity of. The algorithm starts from a row minimum group of the principle submatrix of the first order of the assignment problem, finds the row minimum groups of the principle submatrix of each order step by step, and finally obtains an optimal assignment of the original medical assignment problem. Through this method, it is convenient to find the optimal assignment of medical tasks that exceed the number of people, and efficiently complete the reasonable assignment of medical resources.aHua Ouyanga Guangxi University of Finance and Economics, Nanning, Guangxi 530003, China.Background: The 21st century is the ocean century, the ocean is rich in resources, social and economic development is an important support. Guangxi is located in the Southwest China, with an area of about 40,000 square kilometers in the Gulf of Tonkin Sea, and has huge potential for marine economic development. But at present, the development of Guangxi\u2019s marine economy has encountered a bottleneck. Especially in the digital transformation of the marine economy, the development of digital economy and intelligentization has also brought about the problems of machine dependence, loss of skills, infatuation with the network, separation from reality and spiritual loss, so that people\u2019s mental health has been affected.Subjects and Methods: By analyzing the background and current situation of Guangxi Marine Economy Digital Transformation, this paper probes into the painful and difficult problems in the process of Guangxi Marine Economy Digital Transformation. In particular, the paper deeply analyzes the mental health problems brought by the digital transformation of marine economy, and puts forward feasible solutions.Results: Through the research, the paper finds that although the progress of Guangxi\u2019s marine economy digitization is steady and good, it still faces many problems and challenges, mainly as follows: the marine economy digitization process lags behind, the marine digital economy enterprises lack vitality, the marine digital talents are seriously lacking. The digital development of marine medicine is absent, and the digital transformation affects people\u2019s mental health.Conclusions: We should break the shackles of the traditional economic model on the development of marine industry, and promote the digital development of Guangxi Marine Economy, and finally realize the transformation from \u201cDigital ocean\u201d to \u201cSmart Ocean\u201d. First, to build a strong digital marine area and a modern digital marine economy; second, to accelerate digital innovation and promote a high degree of integration between the digital economy and the marine industry; and third, to formulate preferential policies, fourth, to construct the system of marine medicine to alleviate the mental illness brought by digitalization. We should actively carry out psychological intervention, find out problems as early as possible and try to adapt to the development process of digital economy, so as to fully enjoy the changing modern civilization.This work was supported by The 2018 National Social Science Foundation Project (Grant No.18BJL049), Guangxi First-class Discipline Applied Economics Construction Project Fund (Grant No.2022YBD06) and the 2022 Annual scientific research project of land-Sea Economic Integration Collaborative Innovation Center (Grant No.2022YB10).a, Bingquan Luoa, Huayu Zhaob, Jun Chua, Zihao Lia, Jiwen Zhanga, Wenrui ZhangaYue Rena Capital University of Physical Education and Sports, Beijing 100191, China, b Northeastern University at Qinhuangdao, Qinhuangdao 066004,China.Background: Multi-information sensing technology has gained prominence in various industries, including sports. Long jump, an ancient sport, requires a deep understanding of muscle contraction methods and characteristics during each stage. Previous studies have primarily focused on movement patterns and joint muscle activity, without exploring the anatomical function of muscles and joints or the role of individual joint muscle groups in exercise techniques. By incorporating multi-information fusion technology in long jump research, this study aims to investigate the muscle-specific capabilities of long jumpers and contribute to the medical and health aspects of sports performance.Subjects and Methods: Utilizing multi-source information fusion technology, this study examined the biomechanical attributes of muscle-specific capabilities during the take-off phase of long jumpers, aiming to effectively identify changes in muscle vitality of the take-off leg. The research employed the widely-accepted multi-source information fusion technology to explore the specific conditions of long-jumpers\u2019 leg muscles during the take-off action, which accurately reflects the athletes\u2019 physical condition and has potential implications for injury prevention, athlete health, and performance enhancement.Results: The findings demonstrate that the hip joint of the take-off leg generates greater hip extensor torque during the long jump take-off action, highlighting the importance of active contraction ability of the knee flexor group for successful take-off and avoidance of damage to the posterior femoral muscle group. The range of pressure center change lies between 51.26% and 74.35%, suggesting valuable applications in actual training for improving athletes\u2019 well-being, overall health, and performance in the long jump. Additionally, these results can contribute to the development of personalized training and rehabilitation programs that minimize the risk of overuse injuries and muscle imbalances, ultimately promoting better overall health and longevity in athletes\u2019 careers.Conclusions: This study provides valuable insights into the muscle-specific abilities of long jumpers during the take-off phase using multi-source information fusion technology, which has significant implications for medical and health-related aspects of sports performance. The results emphasize the importance of hip extensor torque and knee flexor group contraction in injury prevention and optimal performance, with potential applications for enhancing training regimens, promoting athlete health, and prolonging careers. Furthermore, the knowledge of these biomechanical characteristics can assist in the early detection and intervention in cases of suboptimal performance, thereby allowing timely adjustments to training or rehabilitation programs and ensuring the athletes\u2019 well-being.a, Yubiao Lib, Wenqi GongbYouxi Yana Department of International Applied Technology, Yibin University, Yibin, Sichuan 644000, China, b Department of Resources and Environment, Wuhan University of Technology, Wuhan, Hubei 430070, China.Background: Minqin settlement system located in the downstream of Shiyang River Basin is surrounded by Tengger Desert in the northeast and surrounded by Badain Jaran Desert in the northwest, with strong ecological sensitivity. At the end of the last century, with the increase of settlement population, excessive reclamation and wood-cutting activities resulted in lack of ecological barrier of settlement system and deterioration of human settlement environment, and the residents were in deep anxiety. In order to solve people\u2019s psychological anxiety and repair the residential environment of settlement system, the state and local governments have successively launched the key governance projects of Shiyang River Basin after 2000, and completed the treatment in 2015 and carried out the acceptance of the treatment results smoothly.Subjects and Methods: In order to objectively analyze the restoration effect of key governance on the ecological environment of the settlement system and regulate the anxiety of residents in Shiyang River Basin, the TM remote sensing images of Minqin County in 1980, 2000 and 2015 are taken as the main data sources, and the landscape pattern of Minqin County Settlement System is interpreted through image fusion, geometric correction, image enhancement, data registration and sampling verification by referring to the geospatial data cloud of Chinese Academy of Sciences.Results: In 1980, 2000 and 2015, the area of settlement patches continued to increase, the patch area of cultivated land first increased and then decreased, the patch area of grassland decreased first and then increased, the patch area of forest land was flattened first and then increased, the patch area of water area first decreased and then increased, and the area of desert patches decreased in turn, and the key governance effect did not appear, and the adjustment effect of residents\u2019 anxiety was unsatisfactory.Conclusions: The reason is that the key governance measures of Shiyang River Basin are improper, and the water conveyance mode in the settlement is still artificial lined channels, and the natural water transportation mode of Daxi River and Dadong River is abandoned. The east and west ecological barriers of settlement system cannot be restored naturally due to water shortage, and the residents are still anxious about ecological problems.This work was supported by Yibin University \u201cSailing\u201d plan project (2020QH02), General Project of Ministry of Education Foundation on Humanities and Social Sciences in 2021 (21XJA630008) and the fourth round key discipline of Yibin University \u201cResources and Environment\u201d.a,b, Boping Tiana, Guangqiang TengaJinyang Liua School of Mathematics, Harbin Institute of Technology, Harbin 150006, China, b School of Statistics, Chengdu University of Information Technology, Chengdu 610103, China.Objective: Infectious diseases are often fierce, dangerous, widely spread, and have a huge social impact. Countries have developed different prevention and control strategies according to the epidemiological status, disposal capacity, and social characteristics of their infectious diseases. Few quantitative studies have been conducted to compare and analyze the intervention effects of infectious disease epidemics in multiple countries. This study aims to use scientific models and methods to evaluate the effect of infectious disease intervention in different countries, sum up experience and lessons, and provide some suggestions for minimizing or effectively controlling infectious diseases that may occur in the future.Methods: This study used the classical epidemiological SIR model and calculates its basic regeneration number to compare the effectiveness of infectious disease epidemic control in four countries: China, America, Italy, and India. By solving the SIR model with a system of differential equations, the infectious disease epidemic curves can be fitted relatively accurately based on available data. It is only necessary to estimate the model parameters to predict the spread of infectious diseases, and then evaluate the intervention effect of infectious diseases.Results: In this study, the epidemic trends of infectious disease in four countries, China, America, Italy, and India, under natural conditions and government control, were obtained by simulation and the basic regeneration numbers were calculated. The study shows that the spread of the epidemic was effectively interrupted earlier in China under control, while the epidemic control was not more effective in America, Italy, and India.Conclusions: As transportation levels increase and the number of mobile populations grows, prevention of infectious diseases is no longer simply a matter of prevention in a particular region or country, but has expanded to a global level. In this study, the SIR model was used to compare and analyze the prevention and control effects of infectious disease outbreaks in four countries. The findings of the study deepen the understanding of infectious diseases and their intervention measures to a certain extent, which plays a role in the common and effective response to similar outbreaks of major infectious disease epidemics in the future. China\u2019s infectious disease intervention measures and related experiences are worthy of active reference by countries around the world.This work was supported by a project grant from the Natural Science Foundation of China(NSFC) (No.91646106).a, Ji GuoaTian Lia College of Arts, Gansu University of Political Science and Law, Lanzhou 730070, China.Background: Art therapy, also known as art psychotherapy, is an important intervention method for treating psychological issues. It spans multiple disciplines, including art, psychology, and medicine, and has gained increasing attention as society continues to develop. Painting therapy is one of the methods of expressive art therapy, which allows painters to use nonverbal tools through the creative process of painting to guide chaotic psychological states and feelings into a clear and orderly state. It can present the suppressed emotions and conflicts within the subconscious and obtain relief and satisfaction during the painting process, thus achieving diagnostic and therapeutic effects.Subjects and Methods: A certain number of college students with psychological issues were selected, and interviews, questionnaires, and analysis were conducted to summarize their psychological problems. Different treatment strategies were employed based on the specific psychological issues of the college students. There are various forms of painting therapy strategies, including free painting, theme painting , gestalt painting , and so on.Results: Painting therapy is a service-oriented profession that presents individual development, abilities, personality, interests, concerns, and conflicts through the use of painting media or materials, artistic imagery, creative artistic activities, and patient feedback on the work. Art therapy is generally suitable for individual psychotherapy. Through art therapy, various tense emotions and pressures can be released during the creative process, inherent experiences can be clarified, thoughts can be concretized, and certain psychological needs can be conveyed. Art creation opens a pathway to the subconscious, facilitating the expression, reflection, integration of individual development, abilities, interests, personality, thoughts, and inner emotional states, making it more accessible to the public.Conclusion: Through painting therapy, the suppressed emotions and conflicts in the patient\u2019s subconscious are presented. At the same time, during the process of painting therapy, the patient releases negative energy in their mind, emotions, and thoughts, decompresses, releases emotions, adjusts emotions and attitudes, repairs spiritual wounds, fills gaps in their inner world, and obtains a sense of satisfaction, achievement, and confidence, thereby achieving good diagnostic and therapeutic effects. Art therapy has vast prospects, but due to various objective factors and the low attention given to this therapy in China, there is limited research, insufficient studies, and a lack of prominent case studies, making it difficult to conduct specific and effective art therapy. This article mainly explains the implementation, directions, and unique significance of art therapy, aiming to provide a detailed introduction to the entire process of art therapy, its advantages, and development prospects.This study was supported by the 2021 Young Doctor Fund Project of Gansu Province (Project No.: 2021QB101).a, Borhannudin Bin Abdullahb, Hazizi Bin Abu SaadcChenxi Lua Faculty of Educational Studies, Universiti Putra Malaysia, Serdang 43400, Selangor, Malaysia, b Faculty of Educational Studies, Universiti Putra Malaysia, Serdang 43400, Selangor, Malaysia, c Faculty of Medicine and Health Sciences, Universiti Putra Malaysia, Serdang 43400, Selangor, Malaysia.Background: Intelligent somatosensory interactive exercises are the primary focus of this study because of their potential to improve motor skills and effect and on the psychological status in autistic children.Subjects and Methods: The present issues of hand movement training for children with autism, as well as the impact of somatosensory games on psychological status as well as on rehabilitation training for autism, are explored via the use of case studies. Somatosensory activities for teaching kids with autism how to use their hands effectively were studied. The impact of various variables on users\u2019 immersion is investigated via data collecting, classification, and analysis. Functions, programme flow, main features, and implementation effects of the somatosensory game are displayed, and an introduction to the development platform and key technologies used in the design and development of the somatosensory game module are provided.Results: Modelling, character management, task flow management, collision detection, an interactive interface, and natural interaction techniques including gesture and voice interaction are all presented as part of the somatosensory interaction system\u2019s development process. This research paper defines autism and describes its symptoms and features in youngsters. It lays the groundwork for future study by discussing the viability of using somatosensory games in the hand movement training of autistic children and by providing an in-depth analysis of the development status and use of somatosensory games. It also clarifies the product\u2019s intended direction and design content for somatosensory interactive training products based on the defined study material.Conclusion: Somatosensory games have been demonstrated to be useful in the improving the psychological status and rehabilitation of autistic youngsters. Children with autism showed improvements in their visual responses, anxiety responses, verbal communication, and interpersonal relationships after participating in a healthcare intervention based on intelligent interactive gesture technology.a, Yuanyuan DaiaHeshuang Yea Physical Education Institute, University of the Chizhou, Chizhou, Anhui 247100, China.Background: With the rapid development of society, college students often face various pressures, such as study, employment, love and so on. These pressures will seriously affect the mental health of college students. Only strong mental toughness can help them overcome difficulties and promote the good development of mental health.The purpose of this study is to explore the characteristics of mental toughness of college students majoring in physical education and non-physical education, and to provide ideas for further enhancing the mental health level of students of different majors.Methods: The psychological toughness of 788 students of different majors in Chizhou University was investigated by using the Adolescent Mental Toughness Scale and questionnaire survey. Among them, 340 students (217 boys and 123 girls) majored in physical education and 448 students (177 boys and 271 girls) majored in non-physical education. The collected scales and questionnaires were classified, and the data were recorded into Excel for statistics and SPSS 25.0 for independent sample T-test.Results: (1) The total score of the respondents\u2019 mental toughness was 81.02\u2009\u00b1\u200915.16. Among the dimensions of mental toughness, family support was the highest, followed by interpersonal assistance, goal focus and emotional control, and goal focus was the lowest. (2) For physical education major and non-physical education major, there were significant differences in goal focus, emotional control, family support and interpersonal assistance (P<0.01), and there were significant differences in total score of mental toughness and positive cognition (P<0.05); (3) There were significant differences in total score of mental toughness, emotional control, family support and interpersonal assistance between male physical education major and non-physical education major (P<0.01), and there were significant differences in goal concentration (P<0.05). (4) There were significant differences in goal focus, emotion control, positive cognition and interpersonal assistance between females majoring in sports and females not majoring in sports (P<0.01). (5) Male and female physical education major: The total score of mental toughness and each dimension had no statistical significance (P>0.01).Conclusion: (1) Family support had a significant impact on the psychological resilience of the respondents; (2) The overall mental toughness of physical education major is significantly better than that of non-physical education major; (3) In terms of total score of mental toughness, emotional control, family support and interpersonal assistance, male physical education major are better than female physical education major. In terms of goal focus and positive cognition, male physical education major are weaker than female physical education major. Tips: (1) When improving the mental toughness of college students, it is necessary to unite with their families. Through the joint intervention of family and school, the mental toughness of college students can be effectively promoted; (2) Physical exercise can effectively promote the level of mental toughness. Schools should strengthen physical education and create a strong physical exercise atmosphere. (3) In the work of mental health education, we should pay attention to gender differences and pay attention to teaching students according to their aptitude.This work was supported by 3 project grant from Key Humanities Project of Chizhou University(Grant No.CZ2021RWZ18); Key Research Project of Philosophy and Social Sciences in Higher Education Institutions of Anhui Province(Grant No.2022AH051811); Key Teaching Research Project of Chizhou University (Grant No.2021XJYXM03).a,b,c,d, Hao Tiana,b,c,d, Qin Maa,b,c,d, Lunzhi Yanga,b,c,d, Xue Zhoua,b,c,d, Ting Xiaoa,b,c,d, Ling Taoa,b,c,d, Linjing Wua,b,c,dYing Chena School of Pharmacy, Key Laboratory of Optimal, Utilizaiton of Natural Medicine Resources, Guizhou Medical University, Guiyang 550025, Guizhou, China, b State Key Lab of Functions and Applications of Medicinal Plants, Guiyang 550025, Guizhou, China, c Key Laboratory of Natural Medicine Pharmacology and Drug Evaluation of General Colleges and Universities in Guizhou Province, Guiyang 550025, Guizhou, China, d Guizhou Provincial Efficient Utilization Engineering Center of Featured Natural Medicine Resource, Guiyang 550025, Guizhou, China.YC and HT contributed equally to this work.Background: Rheumatoid arthritis is a type of inflammatory arthritis characterized by joint inflammation, swelling, pain and potential damage. Western medicine primarily focuses on controlling inflammation and regulating immune function in the treatment of RA, with commonly used clinical drugs including non-steroidal anti-inflammatory drugs, glucocorticoids, antirheumatic drugs and biological agents. However, prolonged use of these medications may lead to liver and kidney dysfunction as well as gastrointestinal complications. Polygonatum exhibits characteristics of \u201cmulticomponent, multitarget, and multipathway\u201d which provide potential advantages in the treatment of rheumatoid arthritis (RA). Network pharmacology integrates network biology with various pharmacological approaches based on existing databases. By investigating multiple targets, a \u201ccomponent-target-disease\u201d network can be constructed, providing a novel approach to explore the mechanism and synergistic effects of Polygonatum in treating rheumatoid arthritis.Subjects and Methods: This study aims to investigate the mechanism of rheumatoid arthritis treatment using network pharmacology and molecular docking techniques. Through literature mining and database retrieval, the compound components of Polygonatum were obtained, the potential targets of the compounds were predicted using the TCMSP database, and the related targets of rheumatoid arthritis were obtained through GeneCards, OMIM and other databases, and the intersection targets of Polygonatum for the treatment of rheumatoid arthritis were obtained. Based on the STRING database, Cytoscape software was used to construct the interaction network of the common target protein of Polygonatum and Rheumatoid Arthritis, and the key targets were selected for molecular docking with the chemical components of Polygonatum to verify and analyze the interaction between them.Results: The final screening results revealed the identification of 12 active components, 65 potential targets, and 4797 potential targets for rheumatoid arthritis. Additionally, a total of 48 common targets were identified. GO and KEGG enrichment analysis led to the discovery of 343 signal pathways related to the main components found in Polygonum japonicum. The core components \u03b2-sitosterol and baicalein exhibited strong binding affinity with key targets VEGFA and RELA.Conclusions: Through the application of TCM network pharmacology, this study revealed that Polygonatum may play a multi-component, multi-target and multi-pathway therapeutic effect on rheumatoid arthritis by regulating cell apoptosis and cholesterol-like hormone receptors, participating in cancer pathways and other mechanisms, which may provide a reference for the screening of clinical efficacy evaluation indicators for the treatment of rheumatoid arthritis.The research was supported by Guizhou Provincial Basic Research Program and Guizhou Provincial Key Technology R&D Program (No. [2020]4Y104).aChong Hea Department of Economics, Zhejiang University, Hangzhou 310030, China.Background: Study the incentives of the country for reporting emerging infectious disease outbreak, in order to reduce public panic and herd behavior during public health events.Subjects and Methods: This paper expands the existing single signal game on the motivation of national reporting epidemic to the infinite signal game. In the model, the main benefit of reporting infectious disease outbreak is to reduce casualties, while the main loss is the decrease in income caused by trade and travel disruptions. The model incorporates the loss of mental health of the population due to panic in an epidemic and the losses caused by disrupting social order due to herd behavior such as rushing to buy household goods. In addition, the model takes into account the accuracy of medical detection of infectious disease outbreak as a way to distinguish the behavior of the country under different parameters.Results: The country is more willing to truthfully report the diagnostic test of the disease outbreak in the infinite game than in a one-shot game in order to win the trust of the public and reduce social psychological panic. When trade and travel disruption intensifies, the country will tend to adopt an \u2018oscillating\u2019 strategy: conceals or adopts a mixed action when the volume of trade and travel is above the threshold, but truthfully reports the diagnostic test when the volume is below the threshold. The rapid growth of trade and travel may inhibit the willingness of the country to truthfully report the detection information and increases the risk of disease transmission.Conclusions: When making decisions, the government should not only consider economic losses, but also consider the psychological health issues among the public caused by the epidemic and lack of information, which helps the government truthfully report infectious disease outbreak. It is not better for the partner to impose trade and travel disruption as harshly as possible. The increase in assistance from international organizations such as WHO can help the country to report truthfully, but blindly improving the detection accuracy may only lead to the waste of funds. What\u2019s more, a financial mechanism led by the World Bank should be set up to compensate national and local governments for economic losses associated with outbreaks, especially in areas with the greatest lack of health resources.a, Dongyi Huangb, Wu LiucKaiwen Lia Wenshan University, Yunnan Wenshan 633099, China, b School of Sports Science, Guangzhou College of Applied Science and Technology, Guangzhou 511370, China, c Yunnan Vocational College of Mechanical and Electrical Technology, Yunnan Kunming 650203, China.Background: With the rapid development of China\u2019s economy, more and more college students are in the state of sub-health, among the types of exercise used in the clinical management of sub-health, some are related to the ancient Chinese traditions as Baduanjin. Despite the growing interest of the scientific community in Baduanjin, which has the theoretical basis of traditional Chinese medicine, its research is still in its infancy. It is noteworthy that, to the best of our knowledge, there are no studies that verified the influence of Baduanjin on sub-healthy college students. Therefore, the main objective of the present study was to investigate the effects of the Baduanjin, a traditional Chinese Qigong, on the physical and mental health of sub-healthy college students.Subjects and Methods: Explore the intervention effect of Baduanjin exercise on sub-health college students. The average age . Methods Comparative analysis method was used. Practicing baduanjin for 18 weeks, after the experiment, the improvement of physical, mental and fatigue sub-health was assessed by \u201cPersonal Health Status Questionnaire\u201d. HK6000, G100, JGW-B and FCS-10000 were used to evaluate the physical forward bend, grip strength, Reaction time, and vital capacity.Results: The 220 students were randomly allocated to the control or experimental group. Physical and mental health, fatigue status, and physical fitness were assessed in both groups before and after the experimental protocol. Compared with the control group, the physical subhealth and mental subhealth of the experimental group were significantly improved (P<0.05). The fatigue state of the experimental group was significantly relieved (P<0.05). Baduan jin intervention significantly improved sitting forward flexion ability and lung volume (P<0.05).Conclusion: It is proved that baduanjin has significant therapeutic effect on sub-health of college students. It provides a new way for researchers and coaches to conduct research and intervention from the perspective of traditional medicine.Thanks to Professor Gu Yongkun, Professor Liu Wu and coach Lu Tianxue for their support to the sub-health intervention students.aChin-niang Chana School of Art, Minnan Normal University, Zhangzhou, Fuijian, China.Background: Music therapy is different from conventional instrumental music, as it has the ability to evoke every possible emotion. A melodious voice can heal a person, and music therapy is a constantly evolving concept that can promote healing. Mainly, it is a therapeutic method that utilizes the natural emotional enhancement characteristics of music. In addition, it can also help people improve their mental health and overall happiness.Subjects and Methods: Music therapy includes developing music, writing songs, singing, dancing, listening to and discussing music. Especially, this form of treatment may be helpful for people with depression and anxiety. In addition, it may help improve the quality of life for people with physical health issues. The music of playing the yangqin can make us soar to unimaginable heights, comfort us in sadness or loneliness, help us release our anger or frustration in a way that does not harm anyone, make our bodies move, and bring peace and tranquility to our hearts.Results: Music therapy is an expressive art therapy that uses music to improve and maintain an individual\u2019s physical, psychological, and social well-being. In addition, it also involves a wide range of activities, such as listening to music, singing, and playing musical instruments. Music can also improve our health and happiness. Music heals, allowing wonderful music to improve our physical and mental well-being. After experiencing the baptism of hundreds of years of Chinese culture, the yangqin has achieved outstanding development in its performance form. In addition to solo performances, the yangqin is widely involved in various forms of performance such as traditional Chinese opera, Quyi accompaniment, ensemble, large, medium, and small ensemble, and has become an important component of Chinese ethnic instruments. A large number of literature references and field research are combined to obtain the original data, and the results can be obtained only after analysis and research.Conclusion: The increasing evidence of music therapy suggests that music therapy is not just a great way to boost energy, but can improve medical outcomes and quality of life in various ways. Surprised by the magic of music and its benefits in treating mental illnesses. Not only that, music therapy can also cure some symptoms of physical problems. Of course, there are some types of music to enhance emotions and relieve stress. The yangqin has been continuously absorbed, integrated, transformed, and developed in the process of historical transformation, and its development requires the improvement of the content of the work. In the creation and performance of traditional and modern works, it is necessary to strive for innovation through change and progress through development, making contributions to enriching and improving the art of yangqin.a,b, Bo Sua,bLingshan Lia School of Management, Hubei University of Chinese Traditional Medicine, Wuhan, Hubei 430070, China, b Research Center for the Development of Traditional Chinese Medicine, Key Research Institute of Humanities and Social Sciences of Hubei Province, Wuhan, Hubei 430070, China.Background: With the great contribution of the traditional Chinese medicine (TCM), China has made significant breakthroughs in combating the epidemic. Moreover, China has released many relevant policies to support the development of the traditional Chinese medicine industry. For the public, more and more people are paying attention to personal health management. The development of the traditional Chinese medicine industry will further promote the health of the entire population.Subjects and Methods: In order to further understand the degree of the development of Chinese medicine industry in China, this paper selects 62 listed companies in the traditional Chinese medicine (TCM) industry to research their growth in the future with their financial data in 2022. With reference to listed company performance evaluation index system, we constructed a index system of 12 indicators from 4 aspects using factor analysis for empirical analysis. These four indicators are profitability, debt paying ability, operational ability, and growth ability. These four abilities can comprehensively measure the overall situation of a company.Results: According to the empirical results, it can be found that among the 62 listed TCM companies, 32 companies got a growth score of more than 1, accounting for 51.61%, indicating that these companies had a good development prospect. However, only 3 listed TCM companies scored more than 1 in all indicators, which suggests that there is still a lot of development space for other companies to explore. The top ten companies all have well-known products and operate well.Conclusions: The TCM company needs to develop its own characteristics to enhance its growth potential. The TCM companies also need comprehensive development to be more competitive. The development of a company needs to meet the public\u2019s health needs in order to have greater development space. The development of the traditional Chinese medicine industry plays an important role in disease prevention and can better assist people in health management.a; Qiushuang DuanaXuecheng Wanga School of Economics and Management, North China University of Technology, Beijing, China.Background: Investor\u2019s mental health has a great impact on their investment behavior. Anxiety, autism and personality disorders may cause investors to loss their judgment, rely more on the herd effect, and make irrational investment behaviors. Frequent trading triggered by rumors and hot spots causes investors to ignore the value of stocks and lead to investment failure. The existing research shows that the digital transformation strategy has little impact on the profit of R&D-dependent industries as pharmaceutical and health industries. Will the hype about the concept of the digital economy lead to investors exhibiting irrational behaviour? Will listed companies in the pharmaceutical industry use the digital economy to push up their stock prices? This paper will examine the above issues.Subjects and Methods: This paper have tested whether there is an irrationality investment behavior caused by unhealthy psychology with individual fixed panel regression models of 299 A-share listed companies in China\u2019s pharmaceutical industry from 2010 to 2020.This paper uses abnormal trading volume to represent unassertive investment due to blindness, pressure and other negative psychology, uses the FGLS estimation method to estimate the parameters of the model, and use the two-step correction method for the coefficient correction of AR(1) and the PSCE method for the heteroskedasticity-robust covariance correction to produce more reliable regression results. We also performed robustness tests to avoid regression bias. All methods are based on theoretical deduction and empirical analysis of investment psychology.Results: The hypothesis that unhealthy investment psychology attracted by investment hot-spots encourages blind investment is well tested. There is a herd effect attracted by the digital transformation strategy of pharmaceutical companies. Investors trade frequently and drive up the stock price severely than normal. On average, an increase of 1 unit in the frequency of digital economy related vocabulary (per thousand words) in the annual reports will increase stock trading volume by 1000 million in a whole year. This result is significant at the 1% level. This result proves that overinvestment due to psychological problems exists. The robustness test also shows that the stock price will be raised by about 23.89%.The results can be used to explain the collective psychological problems in investment, such as excessive profit pressure, choice anxiety, and excessive comparison.Conclusions: Under the influence of herd mentality, investors will indeed make irrational investment behaviors. This unhealthy psychology is transmitted between groups, causing distortions in the value of the stock market. It can be seen that investors have high hopes for the digital transformation of pharmaceutical companies. But poor knowledge and overstress drive people to ignore risks. Before the digital economy strategy takes effect, investors should overcome anxiety and maintain a healthy mind. Pharmaceutical companies should increase corporate profits and promote the lasting development of the industry. The mechanism of individual psychological problems on market failure is the subject of further research.This research was supported by Beijing Social Science Foundation (Grant No.22JCC077) and Beijing Urban Governance Research Base of North China University of Technology.a, Dongmei Lia, Changqing FengaHongyan Shena Affiliated Hospital of Liaoning University of Traditional Chinese Medicine, Shenyang 110032, China.Background: In recent years, with the increasing incidence of tic disorder in children, the author observed children suffering from tic disorder accounted for nearly one fifth of the chronic disease patients in the pediatric outpatient department of our hospital. Ranking the second after spleen and stomach disease, tic disorder has witnessed a decreasing trend in its onset age. Due to the complex etiology of tic disorder, there is no specific treatment method at present.Subjects and Methods: To explore the etiology and pathogenesis and provide favorable methods about prevention and treatment of tic disorder in children according to the theory of \u201coccurrence due to adding causative factors\u201d.In the process of the clinical research on tic disorder, we consulted, collected and sorted out a lot of literatures, including classical TCM ancient books and medical journals, etc., combined with clinical data, and systematically analyzed the diagnosis and treatment of tic disorder. We collected and referred to huge amounts of information in TCM books and periodicals, in order to further clarify the pathogenesis of tic disorder, and to identity the focus of treatment and prevention for tic disorder. In this paper, the pathogenesis of tic disorders in traditional Chinese medicine is clarified from all aspects. This study is based on the theory of \u201coccurrence due to adding causative factors\u201d, which clarify the pathogenesis of tic disorder from the inside to the outside, from the point to the surface, from multiple perspectives, including the children\u2019s constitution, body endowment and traditional Chinese medicine Yin and Yang, the five elements, and the visceral state.Results: The etiology and pathogenesis of tic disorder in children are similar to the theory of \u201coccurrence due to adding causative factors\u201d in Canon, which is the most classical TCM ancient book. The pathogenesis of tic disorder in children can be explored from the theory of \u201coccurrence due to adding causative factors \u201c, so as to guide the treatment for children with tic disorders.Conclusions: The treatment based on the theory of \u201coccurrence due to adding causative factors\u201d for children with tic disorder can better guide clinical treatment and differentiation of syndromes, so as to achieve \u201ccuring the disease to seek the root\u201d, guide the clinical children to \u201cprevent diseases before occurrence\u201d, and thus has certain clinical practical value.This paper was supported by the basic research project of the education department of Liaoning province (2100221274).a, Huiling Lua, Xiaopan Dia, Yan Lia, Bo Chena, Danyang Lia, Long Zhanga, Yuping Zhanga, Hui YaoaWei Duana Department of Medical, People\u2019s Hospital of Ningxia Hui Autonomous Region, Yinchuan, Ningxia 750001, China.Background: To investigate the efficacy of 4S lying position lung rehabilitation exercise, in hospital-family integrated lung rehabilitation nursing of acute exacerbation of chronic obstructive pulmonary disease(AECOPD) patients,and to summarize the application experience.Subjects and Methods: A total of 99 AECOPD patients who were hospitalized from March 2019 to June 2020 in People\u2019s Hospital of Ningxia Hui Autonomous Region were enrolled in the study. According to the inclusion criteria, Patients were randomly divided into observation group (49 cases) and control group (50 cases). The observation group had 34 males and 15 females, ranging in age from 63 to 84 years, with an average of (72.19\u2009\u00b1\u20097.89) years; the control group had 33 males and 17 females, ranging in age from 66 to 83 years, with an average of (73.70\u2009\u00b1\u20095.32) years. There was no statistically significant difference in gender and constitutional indext (P>0.05).Both groups received the same drug treatment. The observation group received 4S lying position lung rehabilitation exercise, while the control group received routine lung rehabilitation program. mMRC scores, 6MWT, CAT scores and compliance of family lung rehabilitation were compared between the two groups before and after intervention for 12weeks.Results: Comparison of the compliance of family lung rehabilitation between the observation group and the control group after 12 weeks of intervention was improved, but the improvement degree in the observation group was significantly higher than that in the control group(P < 0.05), with statistical significance. 12 weeks after intervention, the scores of mMRC, 6MWT and CAT in both groups were improved. The improvement of the observation group was significantly higher than that of the control group (P<0.05), with statistical significance.Conclusions: 4S lying position rehabilitation exercise is safe, effective and simple.It can relieved patient\u2019s dyspnea symptoms,promote exercise ability and quality of life, which has positive significance for patients\u2019 self-care ability, maximum social function and is thus worthy to promote hospital-family integrated lung rehabilitation nursing mode for AECOPD patients.This work was supported by a project grant from Ningxia Hui Autonomous Region Health System Scientific Research Project (Grant No.2022-NWKY-006).a, Junfang Zhub, Huifang Chenc,d, Haichao Huangb, Bo Lib, Yan Lid, Jianhua Yie, Bing Liuf, Hua Caod, Li YaogYang Niea School of Pharmaceutical Engineering, Guangdong Food & Drug Vocational College, Guangzhou 510520, China, b Experimental Training Center, Guangdong Food & Drug Vocational College, Guangzhou 510520, China, c College of Chemistry & Pharmacy, Guangxi Normal University, Guilin, 541004, China, d Guangdong Lingnan Institute of Technology, Guangzhou 510663, China, e Department of Orthopedics, East Hospital of the First Affiliated Hospital of Sun Yat sen University, Guangzhou,510700, China, f School of Health, Guangzhou Huaxia Vocational College, Guangzhou 510935, China, g School of Food Science and Biology, Guangdong Polytechnic of Science and Trade, Guangzhou, 510430, China.Y Nie and HF Chen contribute equally to this work.Background: This project aims preferred clebopride bioadhesive sustained-release tablets of the prescription and preparation processes, and to study the effects of Clebopride (CBP) bioadhensive sustained-release tablets on experimental gastric ulcer and gastrointestinal motility disorder.Subjects and Methods: Release tablets release as an indicator, the use of orthogonal design to optimize select clebopride prescription bioadhesive sustained release tablets. Gastric ulcer rat model was induced by ethanol and aspirin, and then divided into model group , common tablet (CBP tablet 0.072\u2005mg/kg) and sustained-release tablet high-dose and low-dose groups ; normal rats were included in normal control group ; they were given relevant medicine intragastrically, twice a day for sustained-release tablet, three times a day for other. Ulcer area were observed 2 and 4 days after medication to calculate healing rate of ulcer (n=6). Gastrointestinal motility disorder mice model was induced by atropine, and then divided into model group , common tablet group (CBP tablet 0.1\u2005mg/kg) and sustained-release tablet high-dose, medium-dose and low-dose groups ; normal mice were included in normal control group ; they were given relevant medicine intragastrically, once a day, for consecutive 3 days. The rate of gastric emptying and small intestinal propulsion were detected (n=6).Results: The optimized formulation consisting of hydroxypropyl methyl cellulose (HPMC 5.5g/100 tablets) and carbomer (CP 2.2g/100 tablets) bioadhesive and skeletal material, lactose as diluent (1.2g/100 film), starch as a filler and a disintegrant (2.0g/100 tablets), optimized in line with a sustained-release tablets prescription kinetic process, release meet the design requirements. Simultaneously with clebopride ordinary tablets measured and compared to the rat gastrointestinal tract adhesion. Compared with normal control group, ulcer area of rats increased in model group; compared with model group, that of rats decreased in common tablet group and sustained-release tablet high-dose, low-dose groups, with statistical significance (P< 0.01); healing rates of gastric ulcer were 32.35%-48.24% 2 days after medication, and those were above 70% 4 days after medication. Compared with normal control group, the rate of gastric emptying and small intestinal propulsion in mice decreased in model group; compared with model group, those of mice increased in common tablet group and sustained-release tablet high-dose, medium-dose, low-dose groups. The effects of sustained-release tablet high-dose and medium-dose groups were better than that of common tablet group; those difference had statistical significance (P< 0.01 or P< 0.05).Conclusions: This study obtained clebopride bioadhesive sustained-release tablets have good slow-release effect, reasonable preparation process is simple, and significant adhesion performance to meet clinical needs, CBP bioadhensive sustained-release tablets have improvement effects against gastric ulcer of rats and gastrointestinal motility disorder of mice, CBP bioadhensive sustained-release tablet has good development prospects.This work was supported by the key project grant of Natural Science Foundation of Guangxi Province in 2022: mitochondrial autophagy inhibits aBelta deposition and tau phosphorylation to improve cognitive function of AD model animals (Grant No.2022GXNSFAA035447).This thesis is also supported by the following project funds: 1) 2019 Guangdong Medical and Health Education Steering Committee Project: Deep Research on the Teaching Reform of Biopharmaceutical Technology Course under the Background of \u201cSchool enterprise Cooperation\u201d (Project No. 2019LX025); 2)the project of Guangdong Provincial Health and Health Commission on the development, pharmacokinetics and pharmacodynamics of coagulation factor XIII microsphere long-acting injection (No. A2021203) In 2021; 3)Evaluation on the Introduction, Tissue Culture, Rapid Propagation and Planting Effect of Genuine Rhizoma Bletillariae of Guangdong Provincial Bureau of Traditional Chinese Medicine (No. 20191242) in 2020."}
+{"text": "ASD are heterogeneous pathological conditions characterized by difficulties in establishing social contacts and the manifestation of repetitive behavior. An atypical trajectory of brain maturation, impaired neurogenesis, synaptogenesis, and an imbalance in the excitatory and inhibitory systems of the CNS form the morphofunctional basis of the ASD.To understand the functioning of this complexly organized system in time and space, a three-dimensional model is needed. The closest in vitro model of the human brain from early embryonic stages to aging is brain organoids. Human brain organoids are self-organizing three-dimensional cell aggregates derived from pluripotent stem cells (hiPSCs)Organelles generalize neurogenesis, gliogenesis, synaptogenesis, cell migration and cell differentiation, gyrification of the cerebral cortex, and reflect the connections of brain regions.The use of telencephalon organelles in the RAS model revealed a deficit in neuronal migration, acceleration and disruption of cell cycle synchronization, aberrant cell proliferation, abundant synaptogenesis, temporary deviations in the development of the cortex, increased branching of neurons, unbalanced inhibitory differentiation of neurons, high activity of ion channels is a consequence of a violation of FOXG1 activity. Organelles generalize neurogenesis, gliogenesis, synaptogenesis, cell migration and cell differentiation, gyrification of the cerebral cortex, and reflect the connections of brain regions.The use of telencephalon organelles in the RAS model revealed a deficit in neuronal migration, acceleration and disruption of cell cycle synchronization, aberrant cell proliferation, abundant synaptogenesis, temporary deviations in the development of the cortex, increased branching of neurons, unbalanced inhibitory differentiation of neurons, high activity of ion channels is a consequence of a violation of FOXG1 activity .hiPSCs can provide insight into the cellular mechanisms underlying ASD as a neuropsychiatric disorder, providing access to the development of platforms for in vitro drug screening and individualized patient therapy.None Declared"}
+{"text": "In this Special Issue, six articles using the Japan National Health and Nutrition Survey (NHNS) were published. Among the six articles, two examined the time trends ,2, two uIn Japan, the prevalence of hypertension has decreased with the improvement of medical treatment and decreased dietary salt intake. In panel data analysis, the trends in hypertension prevalence, treatment, and control were investigated by life expectancy at the prefectural level . It was Using the Joinpoint Regression Program, trends in food group intake were evaluated by physical size in young Japanese women in NHNS 2001\u20132019 data [In the super-aged society of Japan, it is expected that reducing dietary salt intake prevents cardiovascular disease and hence curbs growing healthcare expenditures. The effect of achieving global and national targets of salt reduction on cardiovascular events and national healthcare expenditures was estimated . CompareJapan experienced a decrease in cardiovascular mortality concurrently with a reduction in salt intake of the population since the 1950s. The impact of salt intake reduction on the long-term trends in cardiovascular mortality was estimated . CompareThe association between sources of free sugars and weight status among children and adolescents was examined in a cross-sectional study using the 2016 NHNS . It was In the NHNS, efforts are made to raise participation rates to ensure representativeness. Local government personnel in charge of NHNS were invited to discuss the measures to improve participation rates. The following measures were identified: standardization of survey methods, skills of survey staff, survey organization, venue setting, accessing target households, time of the survey, responses during the survey, confirming meal contents reported in the dietary intake survey, rewards/incentives, possible rewards, feedback on survey results, and practices during the COVID-19 pandemic . These rThese findings will help readers understand the current situation of health and nutrition of the Japanese population."}
+{"text": "The World Health Organization\u2019s strategy toward healthy aging fosters person-centered integrated care sustained by eHealth systems. However, there is a need for standardized frameworks or platforms accommodating and interconnecting multiple of these systems while ensuring secure, relevant, fair, trust-based data sharing and use. The H2020 project GATEKEEPER aims to implement and test an open-source, European, standard-based, interoperable, and secure framework serving broad populations of aging citizens with heterogeneous health needs.We aim to describe the rationale for the selection of an optimal group of settings for the multinational large-scale piloting of the GATEKEEPER platform.The selection of implementation sites and reference use cases (RUCs) was based on the adoption of a double stratification pyramid reflecting the overall health of target populations and the intensity of proposed interventions; the identification of a principles guiding implementation site selection; and the elaboration of guidelines for RUC selection, ensuring clinical relevance and scientific excellence while covering the whole spectrum of citizen complexities and intervention intensities.Seven European countries were selected, covering Europe\u2019s geographical and socioeconomic heterogeneity: Cyprus, Germany, Greece, Italy, Poland, Spain, and the United Kingdom. These were complemented by the following 3 Asian pilots: Hong Kong, Singapore, and Taiwan. Implementation sites consisted of local ecosystems, including health care organizations and partners from industry, civil society, academia, and government, prioritizing the highly rated European Innovation Partnership on Active and Healthy Aging reference sites. RUCs covered the whole spectrum of chronic diseases, citizen complexities, and intervention intensities while privileging clinical relevance and scientific rigor. These included lifestyle-related early detection and interventions, using artificial intelligence\u2013based digital coaches to promote healthy lifestyle and delay the onset or worsening of chronic diseases in healthy citizens; chronic obstructive pulmonary disease and heart failure decompensations management, proposing integrated care management based on advanced wearable monitoring and machine learning (ML) to predict decompensations; management of glycemic status in diabetes mellitus, based on beat to beat monitoring and short-term ML-based prediction of glycemic dynamics; treatment decision support systems for Parkinson disease, continuously monitoring motor and nonmotor complications to trigger enhanced treatment strategies; primary and secondary stroke prevention, using a coaching app and educational simulations with virtual and augmented reality; management of multimorbid older patients or patients with cancer, exploring novel chronic care models based on digital coaching, and advanced monitoring and ML; high blood pressure management, with ML-based predictions based on different intensities of monitoring through self-managed apps; and COVID-19 management, with integrated management tools limiting physical contact among actors.This paper provides a methodology for selecting adequate settings for the large-scale piloting of eHealth frameworks and exemplifies with the decisions taken in GATEKEEPER the current views of the WHO and European Commission while moving forward toward a European Data Space. Worldwide socioeconomic improvements have prolonged and will further prolong life expectancy, progressively shifting the structure of population pyramids toward aging populations . TherefoeHealth must be The European Horizon 2020 project GATEKEEPER is a European multicentric large-scale pilot on smart living environments . In lineThe GATEKEEPER project differs from most eHealth-related projects because of its broader scope. GATEKEEPER aims toward implementing a platform serving broad populations of aging citizens with heterogeneous needs, rather than disease-specific eHealth systems or settings targeting well-defined subgroups of citizens with homogeneous characteristics. Therefore, the definition of the most appropriate group of settings where the platform should be tested represents a challenge on its own. This paper describes the rationale for the selection of the group of settings used to test the GATEKEEPER platform, and presents the different implementation sites and reference use cases (RUCs), to provide an overview of the clinical and scientific meaningfulness of this platform.Testing a platform capable of accommodating any number and type of eHealth solutions for broad study populations of older citizens with diverse needs requires being systematic. To do so, we adopted a double stratification pyramid reflecting at the same time the overall health of the target study population for a given intervention as well as the intensity of the proposed intervention . The firOnce the GATEKEEPER double stratification pyramid was established, the next step involved the selection of deployment sites and the identification of relevant RUCs to be implemented. Two considerations were taken into account for the selection of implementation sites. First, it was important to test the system in as many different countries as possible, especially given the differences in regulations, health care systems\u2019 characteristics, and study population needs. In this regard, we plotted candidate countries by latitude and nominal Gross Domestic Product per capita (US dollar) from the International Monetary Fund\u2019s 2021 World Economic Outlook Database , to ensuSeven European countries were selected by trying to cover the geographical (north-south and east-west) and socioeconomic (spectrum of gross domestic product) heterogeneity of Europe: Cyprus, Germany, Greece, Italy, Poland, Spain, and the United Kingdom . Within Foremost, RUCs should act as demonstrators of the clinical and scientific value of the GATEKEEPER platform. All of the Project\u2019s RUCs were built upon existing expertise and resources matured in previous projects, such as ACTIVAGE . The cenThe main purpose of RUC1 is the promotion of healthy lifestyles among healthy older people to prevent or delay the onset and worsening of controlled common chronic diseases, such as obesity or hypertension. RUC1 will be based on timely interventions provided by artificial intelligence\u2013based digital coaches through natural language processing techniques, patient-generated longitudinal multidimensional data analyses, structured conversations, consultation, and education. Big data analytics techniques will be exploited to address risk stratification and early detection, based on lifestyle analysis, including pattern recognition for the improvement of public health surveillance ,18 and fChronic obstructive pulmonary disease has a huge burden worldwide, accounting for 3.3 million deaths and 74.4 million disability-adjusted life-years (DALYs) in 2019 . RUC2 prDiabetes mellitus (DM) is the leading cause of blindness, end-stage renal failure, nontraumatic limb amputations, and cardiovascular morbidity and mortality and has an immense burden worldwide . RUC3 aiParkinson disease (PD) is a long-term degenerative disorder of the central nervous system that mainly affects the motor system . It is aHeart failure (HF) is a common disease, being the second leading cause of global DALYs loss in 2019 . RUC5 prStroke is a common disease, being the third leading cause of global DALYs loss in 2019 . RUC6 wiRUC7 targets chronic older patients with variable complexity according to GATEKEEPER\u2019s risk stratification pyramid. The EIP on AHA blueprint \u201cpersonas\u201d can provide good examples of potential participant profiles . RUC7 prHypertension or high blood pressure (HBP), is a serious medical condition with an estimated worldwide prevalence of 31% of adults (1.4 billion) that significantly increases the risk of heart, brain, kidney, and other diseases . RUC8 prAs of January 2023, more than 650 million COVID-19 cases and 6.7 million deaths have been confirmed globally . The onsThe establishment of the implementation sites and RUCs is the basis for the definition and execution of large-scale implementation studies. It is key to conceive the different studies individually, with their own target study population, interventions, and evaluation, but also collectively, as a federation of studies aiming to not only test the effectiveness of a given eHealth intervention but also assess the overall performance of a platform hosting the different interventions in a federated way. The promotion of common validated tools measuring activation, adherence, compliance, and outcomes is highly recommended, but it is even more important to consider a common evaluation framework. In this regard, the European Commission promotes the use of indicators for socioeconomic impact assessment by means of the Monitoring and Assessment Framework for the European Innovation Partnership on Active and Healthy Aging , which iThis paper describes how the GATEKEEPER consortium tackled the challenge of implementing and testing a platform serving broad study populations of aging citizens with heterogeneous needs, rather than disease-specific eHealth systems or solutions focusing on well-defined subgroups of citizens with homogeneous characteristics. Accordingly, we presented the rationale for the identification and definition of the most appropriate group of settings for the platform to be tested, including (1) the adoption of a double stratification pyramid reflecting at the same time the overall health of the target study population for a given intervention as well as the intensity of the proposed interventions, (2) the identification of a set of principles guiding the selection of implementation countries and sites, and (3) the elaboration of some guidelines for the selection of RUCs so they can be scientifically sound and clinically relevant while covering the whole spectrum of citizen complexities and intervention intensities. Finally, this has been completed with a description of the chosen implementation sites and RUCs, specific aims, and clinical relevance and scientific interest in the GATEKEEPER project.In recent years, the European Commission has shifted its scope in relation to eHealth implementation. After years of encouraging eHealth projects tackling a given disease in closed-controlled settings, the focus is moving toward fostering integrated programs and, later on, whole structures capable of sustaining multiple such programs while promoting big data approaches with a secured data flow. Projects, such as CONNECARE ,38 and AThe creation of a European Data Space (EDS) is one oIn conclusion, the approach presented in this paper is leading the current trends and the view of the European Commission, and it provides a methodology for setting up the required large-scale pilots, each with its specific features, that will eventually sustain the creation and development of the EDS. Moreover, this blueprint could be expanded to contexts and constraints outside Europe, as demonstrated by the inclusion of Asian implementation sites in GATEKEEPER."}
+{"text": "Dear Editor,A 14-year-old female patient with a history of Down syndrome referred the appearance of lesions disseminated throughout the body that started at the age of seven. On dermatological examination, she had phototype IV skin, with erythematous plaques arranged in an annular fashion, superimposed by pustules at the periphery, located mainly on the trunk, skinfold regions, limbs and scalp, sparing the face and mucous membranes, associated with pruritus . For dia2, the patient showed complete resolution of the skin condition, maintaining lesion remission after phototherapy discontinuation, while maintaining dapsone use. There were only residual hyperchromic macules throughout the body (She then underwent phototherapy with narrow band-UVB (NB-UVB), associated with dapsone 100\u202fmg/day, which was already being used. After 36 sessions of NB-UVB twice a week, at a total cumulative dose of 10.7\u202fmJ/cmthe body .Fig. 3 and the most resistant to conventional therapies when compared to the intraepidermal neutrophilic type. In a histopathological analysis of 116 patients diagnosed with IgA pemphigus, in addition to intercellular IgA deposition, all patients had an inflammatory infiltrate in the dermis, consisting predominantly of neutrophils.The patient in the present case underwent treatment with dapsone for five years, at an optimized dose, without improvement. Therapy with NB-UVB was based on reports in the literature of its use as a therapeutic option for other chronic and immune-mediated dermatoses, being effective and safe for the treatment of children. The use of phototherapy reduces systemic therapies such as corticosteroids, and the pediatric age group presents mild, localized, and tolerable side effects.Phototherapy with NB-UVB decreases T-cell activation, the production of pro-inflammatory cytokines, and the number of antigen-presenting cells in the skin. In addition, this therapy increases the number of Treg cells that secrete suppressor cytokines, which contributes to a reduction in the inflammatory response in the dermis, a probable mechanism of action in the treatment of IgA pemphigus.There is no consensus in the literature regarding the treatment of IgA pemphigus. This study shows the use of phototherapy as a therapeutic option in the reduction of systemic therapies in extensive cutaneous dermatoses in the pediatric age group. Further studies are required to determine the mechanism of action and duration of treatment with NR-UVB to allow long-term disease control.None declared.Lilian Lemos Costa: Approval of the final version of the manuscript; drafting and editing of the manuscript; design and planning of the study; collection, analysis and interpretation of data; critical review of the literature; critical review of the manuscript.Roberta Buense Bedrikow: Approval of the final version of the manuscript; design and planning of the study; effective participation in research orientation; intellectual participation in the propaedeutic and/or therapeutic conduct of the studied cases; critical review of the literature; critical review of the manuscript.Carolina Gon\u00e7alves Contin Proen\u00e7a: Approval of the final version of the manuscript; design and planning of the study; intellectual participation in the propaedeutic and/or therapeutic conduct of studied cases; critical review of the manuscript.Rute Facchini Lellis: Approval of the final version of the manuscript; design and planning of the study; effective participation in research orientation; critical review of the manuscript.None declared."}
+{"text": "RSC Advances article due to significant portions of text overlap with a number of sources throughout the article, in particular ref. 13 and 14 of the original article and ref. The Royal Society of Chemistry hereby wholly retracts this The authors were informed about the retraction of this article but did not respond.RSC AdvancesSigned: Laura Fisher, Executive Editor, Date: 22nd August 2023"}
+{"text": "Musical performance activities are the culmination of arduous work and dedication. Musical interpretation is, at its core, an act of openness and vulnerability, which makes stage anxiety a relevant issue in the musical community. Music Performance Anxiety (MPA) is a complex and multifaceted phenomenon, manifesting in different ways and affecting musicians to varying degrees, across all educational levels and musical genres and energetic arousal . The authors concluded that their findings point to the usefulness of stage training to become accustomed to realistic public self-exposure.Chang-Arana et al. investigated the effects of pianists' trait MPA, situational stress , and familiarity with the piece on listeners' perception and understanding of musical expressiveness. Their preliminary analyses with a group of 30 listeners showed that perceived expressiveness was significantly affected by pianists' trait MPA and familiarity with the piece, whereas interpersonal accuracy of musical expressiveness was significantly affected by situational stress. These findings were independent of listeners' musical background.Herman and Clark reviewed the literature to identify possible reasons for the limited efficacy of current approaches to managing MPA. They synthesize and discuss a broad array of key concepts. They note that MPA is predominantly seen as a negative construct with undesirable symptoms and, accordingly, most interventions aim at managing MPA by ameliorating symptoms. They conclude that depathologizing MPA could open new perspectives and have significant practical and theoretical implications.Starting from the observation that the prevalence of MPA has remained largely unchanged over the last 40 years, Irie et al. analyzed the content of reports by 38 student musicians and semi-structured interviews with eight musicians to find that the experience of mental MPA symptoms started as soon as musicians begin to prepare for public performance, the experience of physiological MPA symptoms peaked shortly before public performance, and the experience of behavioral MPA symptoms peaked during public performance. To deal with these different symptoms, musicians reported to use specific strategies such as positive self-talk, concentration, and deep breathing.Kenny, the creator of this instrument, examines the research that has used the K-MPAI and touches on a number of important related topics and constructs such as cross-cultural validation, theoretical and clinical conceptualizations of MPA, depression, low self-esteem, somatization, performance quality, and the idiosyncratic nature of MPA in each musician.The Kenny Music Performance Anxiety Inventory (K-MPAI) is one of the most widely used questionnaires to assess MPA. In her review article, Kirsner et al. take a lifespan perspective on MPA by investigating the potential impact of caregiver experiences and patterns of dysfunctional cognitive schemas during childhood and adolescence on the manifestation and severity of MPA in adulthood. Combining data from a survey with 100 musicians and from interviews with eight musicians, these authors show that high-anxious and low-anxious musicians differed in numerous childhood experiences with their parents and in the development of cognitive schemas related to the themes of failure, catastrophizing, and incompetence/dependence.Lubert et al. investigated the effects of a 10-week psychological chocking intervention comprising acclimatization training, goal setting, imagery, self-talk, and relaxation techniques in six musicians, two dancers and one actress. Their mixed-methods analysis revealed reduction in performance anxiety and fear of negative evaluation, and improved self-efficacy and performance quality.Choking under pressure refers to performing worse than expected despite high skills and motivation to perform well. In their study, Mazzarolo et al. explored the strategies that music educators use to help manage their students' MPA and teacher and student perceptions of teachers' role in MPA management. The nine articles included in the review indicate that the most common strategies are simulated performance, positive outlook, preparation, and breathing. Most of these strategies are not specifically employed by the educators to influence MPA; rather, they are part of their regular teaching practice. Most students would like to receive support both from their teachers and experts.In their PRISMA-based systematic review article, Moral-Bofill et al. investigated the effects of a 12-week electronic intervention program called Self-Regulation Skills for Performing Musicians on flow experience , MPA and social skills. Compared to a control group, the experimental group reported a significant improvement in flow experience (mainly in sense of control and loss of self-consciousness) and MPA from pre- to post-intervention.Passarotto et al. investigated the relationship between MPA, practice behaviors (practice time and number of repetitions), and performance quality by monitoring 30 healthy pianists practicing a short musical excerpt. State anxiety correlated positively with practice time and number of repetitions, which the authors interpreted as supporting the hypothesis that more anxious musicians are at higher risk of developing playing-related injuries as a result of overuse and repetitive strain. Pianists who improved their playing were also less anxious in the latter part of the experiment.Rosset et al. conducted a comprehensive health-related survey among 205 university first-year music students at the beginning of their first semester and 62 students at the end of their second semester. On average, mental health was good at the start of the first year but decreased at the end of the second semester. The article highlights differences between performance majors and music education majors in health-related knowledge and coping abilities and between instrument types in practice time and bodily pain. Moreover, students attending courses on musicians' health improved their knowledge about health risks.Sokoli et al. found that students' age, gender, and instrument were significant predictors of their pre-performance affective, cognitive, and somatic experience. The study further found that worsening in performance quality from practice to public performance was reported by almost half of the students and best predicted by pre-performance anxious feelings and breathing-related complaints. The authors suggested that the assessment of MPA could be refined by better taking into account instrument specific performance-related bodily complaints.In a sample of 186 university-level classical music students, Spahn et al. assessed dispositional MPA and state MPA during a concert among 67 young amateur musicians of a brass choir. In line with previous classifications, the authors identified three types of MPA with about 75% of the musicians being assigned to the positive type characterized by low levels of MPA symptoms and high levels of self-efficacy and positive functional coping. The article also provided an analysis of the degree of correlation between dispositional MPA and state MPA.Yao and Li investigated to what extent the Individual Zone of Optimal Functioning model can help predict performance quality using the three anxiety dimensions somatic anxiety, cognitive anxiety, and self-confidence among 30 college-level piano-major students. The study highlighted the strengths and limitations of this model, the idiosyncratic nature of the relationship between self-perceived anxiety and expert-rated performance quality, as well as important directions for future research in this area.In conclusion, the articles of this Research Topic greatly contribute to the advancement of our understanding of MPA and its role and implications for musicians' wellbeing, health, and career. They also show avenues and opportunities for further developments, demonstrating that MPA remains a highly relevant topic for research and practice in performance science.PG: Writing \u2013 original draft. OC: Writing \u2013 review & editing. KH: Writing \u2013 review & editing. MY: Writing \u2013 review & editing."}
+{"text": "Durability and sustainability are important objectives within the development of cement and concrete composites , and havThis Special Issue, \u201cDurability and Sustainability of Cement and Concrete Composites\u201d aims to collate a set of papers presenting recent advances in the field of durability and sustainability of cement and concrete composites, including design, processing, performance, curing and maintenance, and on-site applications of cement and concrete composites. In total, we received 19 submissions, and 12 of them were published. Researchers from China, the United Kingdom, Japan, and France chose to share their recent research findings via this particular issue.Solid wastes , as alternative cementitious binders, help to reduce carbon footprint and improve the sustainability of cement and concrete composites. Ground-granulated blast-furnace slag (GGBS) is a kind of high-activity waste slag formed via the quenching and granulation of silicate and alumino-silicate as the main components in blast-furnace smelting pig iron. Feng et al. prepared2 and forming more compact hydration products. Furthermore, Yan et al. [In order to improve the negative effects of alternative cementitious binder on the early mechanical properties of cement-based materials, Wang et al. used poln et al. used natIn addition, low reactive or inert solid waste can also be used as an alternative aggregate. Recycled tyre shreds and crumbs were used by Maddalena to repla2 curing, and investigated its influence on the corrosion resistance of cement concrete. It was found that the freeze/thaw resistance and corrosion resistance of inner steel bars were improved by the application of CO2-cured sludge ceramsite. It was also found by Xu et al. [The major characteristic and advantage of sustainable development is the more efficient use of energy and the greater recycling of materials, achieved by conserving and reducing waste. Therefore, improving the durability of concrete can contribute to the sustainable development of concrete. It was reported in that theu et al. that theu et al. investigFurthermore, during its service life, the shrinkage and high-temperature resistance of concrete are also important factors affecting its durability. Yang et al. comparedThe findings presented in this editorial contribute to recent progress in the durability and sustainability of cement and concrete composites. Durability and sustainability will always be the focus of cement concrete research. Therefore, low carbon emissions and long service life should be the key objectives of the future development of the concrete industry."}
+{"text": "Human trafficking is the third most lucrative form of trafficking in the world (following drugs and counterfeit goods). Multiple outbreaks of unrest between October 2016 and August 2017 in the Rakhine State of Myanmar triggered ~745,000 influxes of Rohingyas crossing into Bangladesh through the border boundaries at Teknaf and Ukhiya sub-districts of Cox's Bazar. In this regard, the media confirmed that over a thousand Rohingya people, particularly women and girls, were victims of human trafficking. This research aims to explore the underlying causes of human trafficking (HT) during emergency responses and seeks to understand how the knowledge and capacity of the refugee, local administration, and law enforcement agencies in Bangladesh can be improved in promoting counter-trafficking (CT) and safe migration processes. In order to achieve the objectives, this study reviews acts, rules, policies, and action plans of the Government of Bangladesh on the HT, CT, and safe migration processes. Then, a case study has been applied to present the ongoing CT and safe migration programs of an NGO called Young Power in Social Action (YPSA), which received funding and technical support from the International Organization of Migration (IOM) for this purpose. This study also evaluates the effectiveness of the program through conducting key informant interviews (KIIs) and focus group discussions (FGDs) with the beneficiary and non-beneficiary participants including refugees, law-enforcing agencies (LEAs), and NGOs in Teknaf and Ukhyia. Thus, this study identifies program-level strengths and weaknesses in relation to the CT and safe migration process and provides key directions on how they can be improved. It concludes that non-state actors have a significant role in preventing HT and promoting CT and safe migration for Rohingyas in Bangladesh. The Rohingya people have been experiencing massive state-driven discrimination, torture, and a sense of statelessness due to the deprivation of their basic needs and human rights in Rakhine State, Myanmar, since 1978 . Due to The forcibly displaced Rohingya Muslim population who crossed the borders of Myanmar to Bangladesh traveled a laborious path by foot or boat for safety and were forced to leave everything behind. In fact, many of their houses were burnt down to ashes in the Rakhine state. Due to geographical location and the scarcity of economic activities where they took refuge, there has been evidence of HT for years . A numbeTo place the literature review, research methods, results, and conclusions into context, we have considered definitions used by the United Nations. According to Article 3, paragraph (a) of the protocol to prevent, suppress, and punish trafficking in persons recognized by the United Nations, \u201chuman trafficking\u201d is defined asthe recruitment, transportation, transfer, harboring, or receipt of persons, by means of threat or the use of force or other forms of coercion; of abduction, of fraud, of deception, of the abuse of power or of a position of vulnerability, or of the giving or receiving of payments or benefits to achieve the consent of a person having control over another person, for the purpose of exploitation\u201d [ interventions including creating community awareness and mobilization; capacity-building within the community, its leaders, and law enforcement agencies (LEAs); and facilitating linkage and networking between VoTs and service providing entities were required , 9. OverSince the recent Rohingya influx in August 2017, donor agencies have been operating in the camps to provide protection, education, health, nutrition, food security, water, shelter, sanitation, and hygiene as well as to coordinate logistics for the sites. National and international NGOs have been working on HT in the Rohingya camp areas. Among them, YPSA, which is a leading, voluntary not-for-profit, and non-political organization, has been working on HT in Cox's Bazar since 1990. Donors contributed USD 2.59 billion between 25 August 2017 and 25 August 2021 to the Rohingya people . Notwithkey leader engagements' (KLEs) liaising with NGOs and LEA to combat human trafficking.If the planned activities are implemented, HT can be reduced to a great extent. YPSA in support of the IOM and other agencies is working to prevent HT and promote CT and safe migration processes for the Rohingya and host communities. Of these initiatives, a project entitled \u201cinitiatives to prevent human trafficking in emergency response\u201d has been launched, aiming to increase the knowledge of refugees and host communities on CT, and safe migration capacity-building with the community leaders through \u2018This research aims to evaluate the effectiveness of the program through conducting interviews and focus group discussions (FGDs) with the beneficiary and non-beneficiary participants from school teachers, journalists, the Rohingya community, local administration, and LEA to combat human trafficking in one of the world's largest refugee camps and its adjacent areas.Leda MS, Leda A, Leda-B, Leda C, and Leda D for this purpose. In addition, the evaluation team conducted dedicated meetings and conversations with project staff on different aspects of project management and interventions. Finally, an evaluation of the effectiveness of the program is provided which was a result of conducting KIIs and FGDs with both beneficiary and non-beneficiary participants from teachers, journalists, Rohingya refugees, local administration, and LEAs in Teknaf, and Ukhyia sub-districts.In the second phase, the study conducted a cross-sectional study interviewing both beneficiaries and non-beneficiaries with a pre-tested questionnaire that consists of both qualitative and quantitative questions. The questionnaire was pre-tested on 10 beneficiaries comprising five members from each group. The respondent's comments were considered while developing the main evaluation questionnaire. Targeted sampling was used to collect data from Rohingya and non-Rohingya communities between September and October 2019. Prior to conducting interviews, the participants were briefed on ethical protocols, the research purpose, and possible outcomes. Next, after being informed of the earlier, they could decide to either proceed and participate in the interviews or turn down the invitation. For this study, ethical clearance was sought and approved by the University of Chittagong's Ethics Committee for the Department of Geography (Protocol number: CUNI-13/0022). No personal identifiers were collected. The participants were coded by beneficiaries and non-beneficiaries with their professional identities remaining anonymous. Thus, the study maintained ethical standards, specifically in accordance with the Declaration of Helsinki\u2014ethical principles for research involving human subjects.Majhis (Majhis are community leaders of the Rohingyas).In this study, experimental research was designed in order to understand the knowledge gap between the beneficiary and non-beneficiary groups after project implementation. The data were collected using information from the questionnaire which assessed knowledge and awareness differences about HT, CT, rules and regulations, and the safe migration process. The participants included school teachers, journalists, Rohingya households, and Before conducting interviews, a checklist was prepared for the beneficiary participants who would be invited for interviews and FGDs. A total number of 48 interviews were conducted with the beneficiary and non-beneficiary groups to understand the difference in knowledge between the groups during the mid-term evaluation of the project. The interviews were conducted with school teachers and journalists.Majhis because of their strong influence on the Rohingya community. Of the four FGDs conducted, two each were conducted with beneficiary Majhi and non-beneficiary Majhi, respectively. The time and location of FGDs were pre-arranged in consultation with the participating Majhis. Eight Majhis who were cooperative and enthusiastic attended each FGD session. Majhis who participated in the FGDs are male subjects who represent muscular dominancy in the group. Finally, observation (overt and covert) has been used to document eyewitnesses and to understand the ongoing project interventions by project staff. This field visit also helps to understand the camp entry and exit gates, connectivity to adjacent roads and host communities, and overall environment . The weightage analysis method was used for exploring the quantitative finding of the study. Cronbach's alpha statistics were used to check the reliability of the weightage analysis performed. Cronbach's alpha reliability coefficient normally ranges between 0 and 1. The closer the coefficient is to 1.0, the greater the internal consistency of the items (variables) in the scale. Cronbach's alpha coefficient increases either as the number of items (variables) increases, or as the average inter-item correlations increase . After the completed Cronbach's alpha statistic to test reliability, the test found excellent condition (0.9) out of the five levels very confident to (1) very low confident . The tese levels .The results of the study are presented in two sections. First, we present the results of a review of the evaluation of the humanitarian initiatives led by YPSA. Especifically, we reviewed project activities such as intervention reports, quarterly progress reports, and training manuals. Second, the paper presents the research findings from the evaluation with the beneficiary and non-beneficiary stakeholders.Leda (specific name of the camp), and two locations in two administrative areas, particularly the Ukhia and Teknaf sub-district. Over 463,515 individuals live across 21 areas. The project's staff have attempted to implement different trafficking prevention activities for targeted beneficiaries. These programs directly addressed four different activities, namely courtyard meetings, drama/cultural events on CT, meetings with Majhi, and CT messages on Radio Naf such as early marriage and polygamy which are considered as the pull factors to HT. Finally, they explained how to deliver referral pathways and how services were made available for victims. The trainers who have expertise in HT have facilitated these programs at camp areas in the presence of YPSA's executive members.The project staff arranged the orientation program about CT issues and referral mechanisms with In the past, YPSA was partnered with the IOM on a project entitled \u201cInitiatives to Prevent Human Trafficking in Emergency Response (PHTER)\u201d to increase the knowledge of refugees and host communities on trafficking and safe migration, and capacity-building of community leaders, NGOs and LEA to combat HT. The participants in the capacity-building program receive training on the causes and consequences of HT, how to work together for the prevention of HT, the identification of the victims, and the referral mechanisms to learn about the key laws such as The Prevention and Suppression of Human Trafficking Act 2012 . In thisThe project team has prepared the module on developing awareness and capacity-building of Rohingya, Majhi, camp focal point person, and host community in selected camps areas. First, the module focused on the concept, causes and consequences, and prevention of HT. It also highlights the safe migration process. Then, it referred to a different awareness and prevention-related initiatives, particularly courtyard meetings, introducing District Manpower Office (DEMO), HT-related reference mechanisms, and provision of laws and policies. Finally, it developed and implemented referral modules to prevent HT and promote CT and safe migration.The quarterly reports are prepared to monitor and evaluate project activities and deliverables. Each activity was completed on time, except the activity on the orientation of the HT Act and referral services with law enforcement agencies. It was noted that a number of factors including prolonged rainy season and associated flash flooding, late approval from the office of the Refugee Relief and Repatriation Commissioner (RRRC), and staff dropouts interrupted the program's activities.Majhis and host communities on CT issues and referral mechanisms. They organized a \u201cWorkshop for Media Professionals/Journalists on Human Trafficking Act & Preventing TIP\u201d at the Mushroom Center, Bus Terminal, and Cox's Bazar Sadr. Moreover, the project staff observed \u201cWorld Day Against Trafficking-in-Persons\u201d and organized four street dramas to create awareness about anti-human trafficking in the Rohingya and host community. Furthermore, the project launched an awareness program on HT through community Radio Naf 99.2 FM which is a popular media in the project intervention area. Therefore, after the first quarter, project staff developed and maintained effective communication channels with targeted stakeholders.The quarterly progress report has evidenced that the project staff have successfully developed awareness of HT- and CT-related modules and arranged 216 courtyards meeting out of a total of 770 meetings with the Rohingya and host community. Some of the courtyard meetings were interrupted due to bad weather conditions. A session titled \u201cOrientation on Safe Migration Related issues for potential and out-going migrants\u201d was facilitated for the host community at DEMO, Cox's Bazar. The project organized five meetings with The findings suggest that school teachers and journalists who received orientation have higher levels of awareness and knowledge about the HT act and other acts, as well as referral services and safe migration, than non-beneficiary/non-beneficiaries. They have gained knowledge or ideas about the Prevention and Suppression of Human Trafficking Act 2012. In contrast, the non-beneficiary participants were very unaware of the act. All participants in KIIs have an understanding of the first chapter of the Prevention and Suppression of Human Trafficking Act 2012. The beneficiary group could mention ways to provide referral services for HT. The majority of participants were confident in explaining the HT act and referral services in both camp areas and host communities. On contrary, non-beneficiary participants were less confident in explaining about HT act and referral services in both camp areas and host communities. The beneficiary participants could identify nine types of acts and rules related to HT: (1) Bangladesh Constitution ; (2) Prevention and Suppression of Human Trafficking Act 2012; (3) Women and child prevention and suppression SAARC convention 2012; (4) Child Act 1974; (5) Bangladesh Labor Act 2006; (6) Women policy 2011; (7) Child right policy 2011; (8) Immigration rules 1982; and (9) Bangladesh Passport Act 1973.All beneficiary participants knew about the Bangladesh Constitution Articles, 34 and 38 on trafficking issues, Prevention and Suppression of Human Trafficking Act 2012, Child Act 1974, Women policy 2011, and Child right policy 2011. The majority of non-beneficiary participants personally knew about Bangladesh Constitution , Child Act 1974, and the Women policy 2011. Beneficiary participants suggested that they benefitted and received different training activities organized by YPSA on the human trafficking act and referral services. By attending orientation sessions and training, the participants have a clear idea about trafficking processes and traffickers, knowledge about anti-human trafficking tribunals and the trial of offenses, the human trafficking Act and rules, and how and where victims get security and legal support. The findings from KIIs have identified two major weaknesses: (1) training session on HT and CT is short; (2) there were not adequate local district and sub-district levels civil administrators, LEA and lawyers in the process.In response to causes of HT, most of the beneficiary participants identified nine reasons that include (1) financial insolvency; (2) expectation of a good job; (3) greed for money; (4) unemployment; (5) lack of awareness; (6) uncertain future; (7) violence; (8) lack of job; and (9) lack of appropriate housing. There are two types of factors, push and pull, which are responsible for human trafficking. During our opinion survey, beneficiary participants mentioned that 11 types of push factors responsible for the irregular migration include: (1) improved life expectation; (2) unemployment; (3) family feud; (4) a high number of forced marriages; (5) more earning offer; (6) border crossing opportunity; (7) early marriage; (8) physical, mental and sexual harassment; (9) helpless and dowry; (10) experiencing conflict situation; and (11) uncertain life and violence. Of these factors, unemployment, more earning offer, improved life expectation, and border crossing opportunity were the most prevalent push factors for HT among Rohingya communities.Beneficiary participants identified that six types of traffickers are involved in their regular migration processes. This includes relatives, neighbors, friends, influencing local leaders, employers/persons who help them to get employment, and unknown persons. The non-beneficiary participants said that five types of traffickers are responsible for illegal migration such as relatives, neighbors, friends, employer/person helping them to get employment, and unknown person, respectively. However, both beneficiary and non-beneficiary groups opined that most people are trafficked by strangers. In response to knowledge about victims of trafficking, both beneficiary and non-beneficiary Rohingya communities have clear ideas about who are the potential victims of HT. The potential victims include children, adolescents, males, females, widows, isolated persons, homeless persons, unemployed persons, and orphans.By attending CT and safe migration-related orientations such as courtyard meetings, day observation, Radio Naf, and street drama, beneficiary participants have a better understanding of counter-trafficking and safe migration than non-beneficiary participants do. The beneficiary Rohingya communities confirm that they are aware of six types of incidences involved with HT such as threat, force, kidnapping, exploitation, taking disadvantaged situations, and offering money. The participants heard about the incidence of threats, force, and kidnapping in the areas. They also reported that the victims were psychologically stigmatized and experienced different types of consequences such as personal , health , bad reputation, isolation or compel to leave overseas, social and economic losses.The beneficiary host community participants could identify a series of steps for safe migration that were introduced in training and courtyard meetings. These include having a passport, Bureau of Manpower Employment and Training (BMET) registration, registered recruitment agency, paying money with receipt, legal job agreement, visa, and its verification processes, BMET release letter and smartcard, and opening a bank account, respectively. In contrast, non-beneficiary participants opined that having a passport, visa, and its verification processes and BMET registration are the main steps for safe migration. Beneficiary participants suggested that courtyard meetings, street drama, day observation, and awareness of HT through Radio Naf are the most effective ways for reducing human trafficking and promoting CT in these areas. In response to queries relating to referral services for victims in the camp, the beneficiary participants mentioned three types of referral services: (1) referring to the relevant organization/entities for counseling and basic support; (2) referring to the relevant organization and entities for legal help and; (3) proper maintenance for the referral system.Chitttagonian language, the Rohingya communities suggest to use their own Rohingya language in Radio Naf; and (6) excessive people in each meeting.This evaluation has attempted to identify the weakness of CT and safe migration-related project items and delivery mechanisms. The participants identified six major weaknesses that include: (1) the number of meetings is less; (2) the duration of meetings was short; (3) the presence of women is less; (4) long time gap between two meetings; (5) instead of using Majhis from both beneficiary and non-beneficiary suggested that eight types of victims are trafficked, due to irregular migration in these areas. These victims are children, adolescents, males, females, widows, isolated, homeless persons, unemployed persons, and orphans. More recently both children and women have been trafficked by strangers or unknown persons and friends in these areas. By attending CT and safe migration-related awareness training, meetings, street drama, and listening to Radio Naf programs, the beneficiary Majhis could more confidently explain the legal procedure on CT and referral services for victims of trafficking. They also could confidently explain more about the push and pull factors of trafficking, potential type of traffickers, the most vulnerable victims, and safe migration procedures.Beneficiaries from both Rohingya and host communities became aware of HT and CT because they enhanced their understanding from different types of awareness programs such as courtyard meetings, street drama, day observation, and programs on HT through Radio Naf. Quantitative analysis suggests that the beneficiary participants from school teachers and journalists had a better understanding of HT, CT, and safe migration than the remaining three groups . This maThe weighted analysis suggests that the mean score of Majhi is low (2.0) among the four non-beneficiary groups . The aveThe quantitative evaluation of the HT and CT intervention activities undertaken by the YPSA suggests four types of activities including orientations on safe migration with potential migrants, day observation, street dramas on CT, and awareness on CT through Radio Naf are found useful. The other four types of activities, courtyard meetings, orientation sessions with Majhis, orientations on the human trafficking act and referral services, and capacity-building workshops for journalists are useful. The participants show positive gestures to attend the activities in the future and also provide specific suggestions for each type of activity .By conducting a narrative review of the literature, Lugova et al. reportedCounter-trafficking interventions gained phenomenal popularity since the adoption of the UN Trafficking Protocol 2000 which prompted the undertaking of a variety of efforts from the UN agencies, national governments, International Non-Governmental Organizations (INGOs), and NGOs . The actMajhi are to be empowered considering their influence and trust in the communities. It will require increasing the surveillance of LEA with modern equipment at each entry and exit gate. Sufficient food for the Rohingya people must be ensured because food insecurity is the main push factor to fall victim to traffickers. Partnership development with community, community-based organizations (CBOs), NGOs, and local administration, especially police for the CT process will be of great help.The key project intervention activities, courtyard meetings, orientations on safe migration with potential migrants, day observation, and street dramas on CT were attended by the beneficiary participants. This study identifies several key loopholes that need to be treated and improved. Interventions are required for future project deliveries. First, with regard to awareness generation activities, the beneficiary participants support ongoing courtyard meetings, orientation sessions, and street dramas that need to occur more frequently in a better place with appropriate facilities. Although women participated in each event, their equal participation should be ensured by the implementing organizations. Education and training activities launched by the other organizations at the camp may include HT awareness and the CT process. Awareness activities should be delivered in the local dialect especially when targeted participants are Rohingya communities. Because local administration and law enforcement authorities play a crucial role in the CT process, their inclusion should be one that will enhance the community's confidence in such types of interventions. Local community leaders and The Government of Bangladesh and Bangladeshi communities showed great humanity by hosting over 900,000 stateless Rohingyas which is appreciated by international communities. It was a significant challenge given the limited time to organize all the required food, clothing, shelter, and arrange for health opportunities for the large influx of Rohingyas. Due to limited basic needs and untight security options, there was evidence of HT of Rohingya refugees. Several international agencies, particularly the IOM, in partnerships with NGOs were active since August 2017 providing support to the local government and Rohingya community to promote CT activities. The activities implemented by the YPSA in the camp and adjacent host community demonstrated their effectiveness in creating awareness about HT, promoting CT, and safe migration in the area. The findings of this research and recommendations may be useful to enhance CT and safe migration in the refugee and non-refugee setting in Bangladesh and beyond. The study mainly evaluates HT-related activities implemented at the field level and the effectiveness of their deliveries. Thus, comments cannot be made on the actual outcome of the project activities. Therefore, more studies need to be conducted to evaluate the impact of the CT programs that were implemented following a rapid and large influx of Rohingya refugees in Bangladesh.The original contributions presented in the study are included in the article/supplementary material, further inquiries can be directed to the corresponding author.The studies involving human participants were reviewed and approved by the Institutional Review Board (or Ethics Committee) of the Department of Geography and Environmental Studies at the University of Chittagong, Bangladesh for studies involving humans. Written informed consent was obtained from the individual participant for the publication of any potentially identifiable images or data included in this article. The patients/participants provided their written informed consent to participate in this study.Conceptualization and writing\u2014review and editing: EA, MAR, and JB. Methodology and formal analysis: EA and MHM. Validation: EA, MKI, and MAR. Investigation: EA, MHM, and JB. Resources and supervision: EA and MAR. Data curation and visualization: EA and MKI. Writing\u2014original draft preparation: EA and MHM. Project administration: EA."}
+{"text": "Musculoskeletal (MSK) disorders are among the top five contributors to disability-adjusted life years (DALYs) worldwide . These dSeveral articles in this Special Issue delve into the diagnostic accuracy of radiological measurements in different musculoskeletal conditions. Tagliafico et al. investigated the reliability of the Myeloma Spine and Bone Damage Score (MSBDS) in assessing myeloma-related spine and bone damage using whole-body computed tomography (WBCT) . This muThis Special Issue also explores the application of novel techniques to skeletal radiology. New sequences are expanding diagnostic capabilities, and AI-based techniques are revolutionizing the field via enhancing image interpretation and improving image acquisition protocols. Despite being introduced some time ago, the utilization of relatively new MRI sequences like DWI in skeletal radiology has been limited due to their susceptibility to artifacts and inhomogeneity . HoweverIn addition to diagnostic accuracy and advancements in skeletal radiology, this Special Issue features studies focusing on specific clinical applications. The diagnosis of systemic disorders, characterized by their wide-ranging impact on different organs, significantly relies on the field of skeletal radiology. Due to the non-specific nature of their clinical presentations and the presence of overlapping features, familiarity with the radiologic findings of these disorders is crucial. Radiologic and dermatologic presentations of systemic disorders, the visualization of dialysis-related amyloid arthropathy via 18F-FDG PET-CT scans, and radiographic findings of inflammatory arthritis and mimics in the hands are the topics of the studies focusing on systemic disorders in this issue ,14,15. TThis Special Issue on skeletal radiology encompasses a comprehensive array of articles that contribute to the advancement of this dynamic field. From studies on diagnostic accuracy to emerging applications and clinical reviews, the included articles show the progress and potential of skeletal radiology in improving patient care. The field of skeletal radiology offers promising prospects. Ongoing discussions focus on leveraging emerging technologies to enhance diagnostic capabilities and treatment planning. However, challenges persist, such as the need for standardized protocols, the addressal of data quality and privacy concerns, and the optimization of the integration of artificial intelligence. Further research is required to explore the potential of novel imaging techniques, including advanced MRI sequences and functional imaging modalities, in providing valuable insights into skeletal pathologies. The corresponding evolving technology and imaging techniques have the potential to revolutionize the practice of skeletal radiology, enabling more accurate diagnoses, personalized treatment approaches, and improved patient outcomes."}
+{"text": "This significant milestone provided an opportunity to reflect on two decades of scientific advancements in the field of neurotrauma. Renowned speakers and participants from around the world gathered in the captivating city of Krakow, Poland, from May 12th to May 13th, 2023 . The Congress employed a hybrid model to increase accessibility to information, extending its reach beyond geographical borders. This model enabled a large audience to explore the complexities of neurotraumatology with greater depth. The event was attended by over 250 participants from diverse nations, including Romania, Poland, Egypt, Azerbaijan, Uzbekistan, and Mexico.The th, 2023 and brouEuropean Federation of Neurorehabilitation Societies (EFNR), World Federation for Neurorehabilitation (WFNR), the Foundation of the Society for the Study of Neuroprotection and Neuroplasticity (SSNN), European Academy of Neurology (EAN), European Society of Clinical Neuropharmacology (ESCNP), and the Foundation for the Study of Nanoneurosciences and Neuroregeneration. These collaborations enable the AMN to stay at the forefront of neurotraumatology research, teaching, and practical applications.The AMN actively strives for the advancement of neurotraumatology through various engagements, bringing upfront international scientific congresses to facilitate, encourage, and enhance knowledge and expertise exchange through comprehensive collaboration activities among experts. The Academy for Multidisciplinary Neurotraumatology makes the best use of its communication pillar that, over the decades, has developed into an acknowledged network of national and international associations, societies, and organizations involved in neurotraumatology. Furthermore, it is worth mentioning that the AMN is committed to delivering excellence in education by fostering cooperation with scientific academies, associations, societies, research institutions, and companies dedicated to neurotraumatology. The Academy boasts a global membership of over 600 individuals and maintains partnerships with prominent organizations such as the A teaching course on cognitive assessment after neurotrauma marked the beginning of the congress. The course was conducted by Prof. Nicole von Steinb\u00fcchel (Germany), the past President of the Academy for Multidisciplinary Neurotraumatology (AMN), who discussed the most relevant scientific scales in the domain of post-neurotrauma cognitive assessment.The welcome address of the 20th AMN Congress was expressed by Prof. Dr. Dafin Muresanu , Prof. Volker H\u00f6mberg (AMN Chairman of the Scientific Committee & WFNR President) and the president of the AMN, Prof. Johannes Vester.The first day of Congress was built upon a four-session structure, each session focusing on different aspects of neurotrauma. The Presidential Session covered topics related to neurological rehabilitation, recent advancements in clinical research on traumatic brain injury (TBI), non-interventional comparative effectiveness in TBI, and the impact of sociodemographic, premorbid, and injury-related factors on post-traumatic stress, anxiety, and depression following TBI. Complementary to the first session, the AMN Presidential Panel entitled \u201cThe pitfalls of neurotrauma basic and clinical research\", chaired by Michael Chopp (USA) and Dafin Muresanu (Romania), explored both the challenges and advancements of neurotrauma dynamics, with an emphasis on the value of multidisciplinary perspectives as a tool for broadening the field of neurotraumatology. The second session was focused on blood-brain barrier monitoring during acute ischemic stroke, the role of neurotrophic factors, the influence of endothelial cell-derived exosomes, and the effect of concussive head injury on Alzheimer's disease pathology. The third session marked a shift from the effects of neurotrauma to prehospital care for severe TBI patients and the use of multimodal approaches in ICU-based TBI treatment.The closing fourth session of the day centered around diffuse axonal injury (DAI), endoscopic surgery for acute subdural hematoma, and surgical interventions for TBI. As such, expertise was illustrated on the duration of coma after DAI, the occurrence of persisting motor weakness, and time of recovery for patients with DAI as opposed to focal injuries; regarding research on acute subdural hematoma (ASDH), radiologic and clinical data were presented, converging to the conclusion that endoscopic subdural hematoma removal is, under certain conditions, an effective and safe surgical technique. Further on, going beyond the need for guidelines in neurotrauma, the time factor was highlighted as a central focus in neurosurgery, with \u201cTime is Brain\u201d surpassing all technological developments. Esteemed speakers present at the event included Johannes Vester (Germany), Dafin Muresanu (Romania), Volker H\u00f6mberg (Germany), Nicole von Steinb\u00fcchel (Germany), S\u0142awomir Michalak (Poland), Michael Chopp (USA), Hari Shanker Sharma (Sweden), Helmut Trimmel (Austria), Klaudyna Kojder (Poland), Wojciech Dabrowski (Poland), Pieter Vos (The Netherlands), Se-Hyuk Kim (Korea), and Christian Matula (Austria), Razvan Chereches (Romania), Karin Diserens (Switzerland), Peter Lackner (Austria), Jongmin Lee (South Korea), Johannes Leitgeb (Austria), Marcin Michalak (Poland), Polona Pozeg (Switzerland), Katrin Rauen (Switzerland), and Andreas Winkler (Austria).The Patient Registry - Short Essential Neurotrauma (PRESENT) is an innovative initiative designed to provide comprehensive and multidisciplinary data regarding traumatic brain injury management and facilitate healthcare delivery across different countries. The registry also encourages long-term follow-up of patients. Marcin Michalak (Poland) presented the experience with the first 50 Polish patients included in the PRESENT registry, emphasizing its practical application. Furthermore, Peter Lackner (Austria) underlined the importance of neurotrauma registries in obtaining accurate assessments to further enhance patient care, and Razvan Chereches (Romania) discussed the piloting of a TBI registry in Moldova, Armenia, and Georgia. Following the presentations, the speakers shared interactive discussions with the audience. Session 5 of the event delved into post-TBI neurological assessments, highlighted the global burden of post-TBI depression, and emphasized the role of interdisciplinary neurotrauma management.The second day of the congress commenced with a round table entitled \u201cReal-World Evidence in TBI \u2013 Why Registries Matter\u201d, a dynamic session that highlighted the significance of real-world data in TBI and the vital role of registries in neurotrauma management, pinpointing the latest developments and implementation stages at various country levels. A stimulating discussion was brought forward by \"The AMN Vision - Panel on How to Develop Multidisciplinary Teams in Clinical Routine. The NTSC Vienna concept\" that pinpointed to the innovative Neurotrauma Treatment Simulation Center (NTSC) Program. The NTSC Program had its second edition on April 16-21, 2023 in Vienna, Austria, showcasing a novel approach to neurotrauma education and training. An innovative method in the field of neurotrauma, the program brings together specialists from various backgrounds, such as neurology, neurosurgery, trauma care, and anesthesiology, for a five-day training program in different medical locations. The panel, chaired by participants from the first NTSC edition, respectively Agata Andrzejewska (Poland) and Bassem Boulos (Egypt), featured the Austrian faculty members of the NTSC program, namely Christian Matula, Peter Lackner, Andreas Winkler, Johannes Leitgeb, and Helmut Trimmel. The special panel explored the concept of experiential learning and multidisciplinary teamwork promoted by the NTSC while placing under the loop the objectives of the program and the real-world impact it has on diagnosis, treatment, patient care, and follow-up.The last session of the day focused on motor recovery after neurotrauma, psychiatric neurorehabilitation, and multimodal neuroimaging of covert consciousness. Once again, experience and knowledge were shared regarding specific challenges in neurorehabilitation, i.e., high incidence and prevalence of TBI, notable and permanent degree of disability, and multimorbidity in the elderly. With the concept of neuronal plasticity as the core scientific basis for neurorehabilitation, therapeutic interventions, such as Transcranial Magnetic Stimulation (TMS) and Transcranial Direct Current Stimulation (tDCS) are of top importance for restructuring neural networks.www.brain-amn.org and on YouTube.The AMN conducted an insightful interview with the AMN President Johannes Vester, addressing key messages for the Congress participants and AMN members and future developments and projects of the Academy for Multidisciplinary Neurotraumatology. Further on, the AMN Interview Series that conth edition of the AMN Congress , between 7-8 June . The eve"}
+{"text": "Frontiers in Cell and Developmental Biology and reverse transcription\u2013polymerase chain reaction and/or immunohistochemical (IHC) analysis; ii) availability of histopathology, imaging, and clinical information; iii) exclusion of the possibility of bone metastasis and the triple sign and pseudo-cystic sign (via magnetic resonance imaging), those results had relatively low sensitivity precise diagnosis, ii) adequate clinical information, and iii) exclusion of metastasis. Such reviews would enable clarification of the real clinicopathological characteristics of the disease and, in turn, lead to meaningful prospective studies for standardization of therapy."}
+{"text": "Dear Editor,Pseudoxanthoma elasticum (PXE) is an autosomal recessive genetic metabolic condition characterized by aberrant calcification with the fragmentation of elastic fibers in the dermis, retina and tunica intima of arteries.A 33-year-old woman with a history of systemic lupus erythematosus was referred because an ocular fundus examination revealed angioid streaks associated with decreased foveolar brightness and diffuse pigmentary changes called \u201cpeau d\u2019orange\u201d . PhysicaThe prevalence of PXE varies between 1/25,000 and 1/100,000, with female predominance. It is caused by a mutation in the ABCC6 gene, located on chromosome 16, which encodes a transmembrane transport protein MRP6.Although cutaneous findings usually represent the first clinical sign, they are typically subtle and not evident until the second or third decade.The first visible changes on funduscopy are pigment irregularities with a \u201cpeau d\u2019orange\u201d appearance that typically precedes angioid streaks by one to eight years. Angioid streaks originate from the optic disc and radiate outwards as brownish-grey irregular lines, histopathological findings show breaks of the calcified and thickened Bruch\u2019s membrane. The latter predisposes to secondary choroidal neovascularization with the consequent risk of hemorrhage and blindness in the later stages of the disease.Manifestations of vascular involvement include loss of peripheral pulses, claudication, hypertension, myocardial infarction and ischaemic or hemorrhagic strokes. These findings reflect the mineralization of the middle and intimal layers of small and medium-caliber arteries.3We present this case given the unusual clinical presentation and highlight the importance of cutaneous alterations in the diagnostic confirmation of this entity.This research did not receive any specific grant from funding agencies in the public, commercial, or not-for-profit sectors.Catalina Jahr: Approval of the final version of the manuscript; composition of the manuscript; collection, analysis, and interpretation of data; participation in the design of the study; critical review of the literature; critical review of the manuscript.Valentina Vera: Approval of the final version of the manuscript; collection, analysis, and interpretation of data; critical review of the manuscript.Roberto Bustos: Approval of the final version of the manuscript; collection, analysis, and interpretation of data; critical review of the manuscript.Jos\u00e9 Contreras: Approval of the final version of the manuscript; collection, analysis, and interpretation of data; critical review of the manuscript.None declared."}
+{"text": "However, simple assessment and reporting of rates of contact with mental healthcare potentially overestimate the full expected health benefits of services. Therefore, in addition to monitor the coverage rate achieved by the services, the evaluation of the effectiveness of the care provided (effective coverage) is also of relevant importance.The evaluation of healthcare pathways must be considered of fundamental importance. The quality of care provided to patients with severe mental disorders (SMD) does not correspond to the standards set by the recommendations. Therefore, measures such as the real coverage rate of psychiatric patients\u2019 needs . 45,761 newly taken-in-care cases of depression, schizophrenia, bipolar, and personality disorder were included. A variant of the self-controlled case series method was used to estimate the incidence rate ratio (IRR) for the relationship between exposure and relapse episodes .Figure) during periods covered by (i) psychotherapy for patients with depression and bipolar disorder ; (ii) psychosocial interventions for those with depression , schizophrenia and bipolar disorder , (iii) pharmacotherapy for those with schizophrenia , and bipolar disorder . Coverage with generic mental healthcare, in the absence of psychosocial/psychotherapeutic interventions, did not affect the risk of relapse.11,500 relapses occurred. Relapse risk was reduced (Image:effective coverage, showing that real-world data can represent a useful resource to monitor mental healthcare paths and to assess the effectiveness of a mental health system.Psychosocial interventions, psychotherapies and specific pharmacotherapies can be considered particularly effective in treating patients with bipolar, depressive, and schizophrenic disorders. This study ascertained the gap between utilization of mental healthcare and None Declared"}
+{"text": "Seafood is consumed all around the world. It is considered a high-quality food and an excellent source of vitamins, minerals, proteins, essential amino acids, and fatty acids \u20133. SeafoContamination of coastal areas and oceans, originating from human activities, disturbs marine ecosystems, thus causing seafood to be also a potential source of pollutants such as microplastics, pesticides, synthetic musks, persistent organic pollutants, metals, and pharmaceuticals \u20136. ThereLi et al. combined molecular biology and metabolomics techniques to thoroughly investigate the molecular mechanisms by which different plant proteins affect the proliferation and degradation of muscle proteins of yellow catfish. The authors found soybean meal, peanut meal, cottonseed meal, sesame meal and corn gluten meal regulated the biosynthesis and degradation of muscle protein by affecting the content of vitamin B6, proline, glutamic acid, and phenylalanine (tyrosine) in muscle. The plant proteins improved the flesh quality and texture, despite significantly reducing the growth performance. The authors observed that inhibition of myocyte proliferation-related genes in cottonseed, sesame and corn gluten groups might additionally be regulated by the increase of glutamic acid and the decrease of tyrosine contents . The work provides a needed theoretical basis for further understanding the mechanism of plant proteins regulating flesh quality.Fish is highly consumed around the world, representing 17% of the total animal protein consumed by humans in the feeds of aquaculture crayfish. Crustaceans have long been considered a delicacy. The demand for crustaceans, on the one hand, has been increasing worldwide, which can lead to overexploitation of wild species. On the other hand, the aquaculture farming of these species is costly due to the substantial amount of fishmeal required in the feeds . Insects are high in protein and fat, and an alternative of low environmental footprint. The investigation of Alvanou et al. found that 98 days fishmeal replacements of 50 and 100% in juvenile diets increased crayfish survival but negatively affected its growth performance and feed utilization. The inclusion of the fly larvae in the diet also altered the fatty acid levels and profiles of crayfish. The study shed some light on contradictory results available in the literature for other species.Still related to alternative protein sources, Quaresma et al. studied the protein quality of dried salted cod fish, the 3rd highest consumed fish in the European Union. Due to high demand and capture, Atlantic cod is considered a vulnerable species by the International Union for the Conservation of Nature. In comparison, Pacific cod is captured in lower amounts. Considering this, Quaresma et al. evaluated and classified the nutritional quality in relation to the cod species and harvesting areas (Norway and Iceland Exclusive Economic Zones) using an essential amino acid index. They found the amino acid profiles and the index produced full accurate discrimination of the cod species. Discrimination of the location was above 85%. Furthermore, Norwegian cod protein was classified as of high quality, while that of Iceland cod was of useful quality protein. The same five limiting amino acids were found in both species.On another relevant topic and with a different approach, Gao et al. approached seafood from the innovative perspective of marine bioactive peptides. They studied the potential of peptides from tilapia skin for the treatment of ulcerative colitis, which is a main type of Inflammatory Bowel Disease. Tilapia peptides display anti-inflammatory, antioxidant, antihypertensive, and immunomodulatory properties amongst others . The mechanistic investigation points out a role of such bioactive peptides in the protection against external stimuli, which passes through enhancing the barrier function of the colon epithelium, reducing the release of inflammatory cytokines, and suppressing apoptosis.By contrast, t others . The autIn sum, the contributing articles address either the benefits of seafood consumption, potential health usages, or alternatives to improve seafood safety and quality. These bring new information on relevant aspects of the topic, opening questions and challenges for future research related to alternative protein sources, the nutrient sensing signaling pathways, quality evaluation and species discrimination based on essential and non-essential amino acid profiles, and the role of fish bioactive peptides in health and disease.SS and MM wrote the original draft of the article. LG and VD reviewed and edited the article. All authors contributed to the article and approved the submitted version."}
+{"text": "With increasing health awareness, food safety and quality have been a growing demand globally. Food safety and quality depend upon many factors, including microbes in food production, processing, preservation, and storage. On the one hand, microbes such as bacteria, molds, and yeasts have a long history of application in food production, such as in the production of wine, beer, bread, and dairy products. On the other hand, the growth of microorganisms and contamination by microorganisms lead to food spoilage or even foodborne illness, threatening the development of the food industry.Microorganisms play a crucial role in the production, preservation, and improvement of food. By transforming the chemical constituents of raw materials of plant/animal sources, functional microorganisms, particularly bacteria and yeast, can improve the sensory quality of food, enhance the bioactivity of nutrients, produce antioxidant and antimicrobial compounds, and promote food safety.Liu, Cao et al. utilized a mixture of yeast and Lactobacillus rhamnosus YL-1 as a starter in the fermentation process of salami sausage, which could effectively decrease the degree of lipid oxidation and result in changes in flavor profiles. The combination of Lactobacillus fermentum YZU-06, Staphylococcus saprophyticus CGMCC 3475, and leucine has also been applied in the production of fermented sausage, which improves not only the diversity of flavor compounds but also the overall quality of sausages . Liao et al. compared the quality and the main metabolic changes of instant dark teas fermented by different fungi, such as Aspergillus cristatus, Aspergillus niger, and Aspergillus tubingensis, revealing that the chemical constituents of instant dark teas were affected by the fungi. Tao et al. reviewed the utilization of microbiome in the fermentation process, which could remove the unpleasant beany flavors and enhance the aroma profile of plant-based meat analogs. Probiotics make a great contribution to gut health by improving digestion and enhancing nutrient absorption. Zhu Y. et al. demonstrated that feeding patterns can affect gut microbiota and the metabolites of Tibetan pigs, which further led to changes in meat quality.The physicochemical properties and the volatile flavor compounds of food are closely related to the nature of microorganisms, especially in fermented food. Yu et al. found that the temperature of beef aging could affect the microbial community, physiochemical attributes, and flavor profiles of beef. Liu A. et al. observed significant differences between the bacterial community of vinegar from the same day with different fermentation depths, but no apparent difference appeared in the fungal community. In addition, the function of microbiota and volatile flavor compounds were affected by the microbial community at different depths. By comparing the physicochemical properties and microbial community compositions of Jinhua fat ham and lean ham, Zhang et al. explored the potential mechanism of characteristic microorganisms affecting the formation of flavor in lean dry-cured hams.The process of fermentation is influenced by several factors such as temperature, time, pH, oxygen levels, and microbial starter cultures. Food quality can be monitored through the regulation of fermentation conditions. Liu C. et al.; Guo et al.; Fulano et al.). Unscientific storage of food can cause an infestation of harmful microorganisms. For example, various fungal strains have been found in the production and preservation of dark tea, leading to the proliferation of fungi toxins. Xu et al. reviewed the contamination levels of common mycotoxin species, the main microbial sources of mycotoxin, and the possible ways to cause mycotoxin contamination in dark tea, providing a foundation for the prevention of harmful fungi.Spoilage and pathogenic microorganisms are considered one of the main factors threatening food quality and safety (Chen et al. found that the microbiota, mainly Lactobacillus, inhibited the formation of biogenic amines during the traditional fermentation of Scomber japonicus. To extend the shelf life of food, packaging materials have been explored to protect food from chemical and microbiological changes. Schmid et al. investigated the contaminating bacterial growth and survival in different fiber-based food packaging materials and evaluated the role of pH as an intrinsic antimicrobial factor. Furthermore, some active substances have been found to have inhibitory effects on the growth and toxicity production of microorganisms. Some Aspergillus niger produce ochratoxin A, which has harmful effects on human health, whereas tea polyphenols and epigallocatechin gallate were found to inhibit the growth of Aspergillus niger and ochratoxin synthesis, according to Zhao et al.'s study. Based on Propidium Monoazide combined with real-time PCR, Liu, Huang et al. developed a new method for fast detection of the antibacterial and bacteriostatic activity of disinfectants.To avoid illness and prevent food from spoiling, various technologies of food preservation have been developed to control the growth of microorganisms. Some microorganisms produce antimicrobial compounds and organic acids that inhibit the growth of spoilage-causing bacteria. In conclusion, this Research Topic explored the beneficial and harmful effects of microorganisms on food quality and safety, highlighting the correlation between microbial community and volatile compounds. The reasonable application of beneficial microorganisms and the regulation of harmful microbial infestation are essential to achieve the desired properties, leading to reliable food products and ensuring food quality, safety, and consistency.YW, CZ, and FG collected literatures, organized information, and wrote the first draft of the article. JC provided writing ideas and checked and revised the first draft. All authors contributed to the article and approved the submitted version."}
+{"text": "Dear Editor,Extramammary paget\u2019s disease (EMPD) has been associated with other several malignancies.in situ EMPD of the scrotal region .%.2, 6, 7It has been frequently reported that EMPD is associated with various malignant tumors.Kiltos et al.In our case, lymphadenopathies extending from the right external iliac artery were considered as manifestations of metastases of invasive EMPD. However, the subsequent distant metastases were likely malignant lymphoma. The rapidly enlarging abdominal subcutaneous tissue, maxillary sinus, and skull bone were suggestive of malignant lymphomas.In our case, immunostaining for MYC and BCL-2 showed positive findings. MYC/BCL-2 co-expression without underlying rearrangements is a new adverse prognostic indicator, termed double\u2010expressor lymphoma.Invasive EPMD also metastasizes to the lymphatics and may be difficult to be distinguished from malignant lymphoma, as observed in our case. The diagnosis of high-grade B-cell malignant lymphoma was established for the first time based on a resected metastatic skin lesion specimen. This pathological condition significantly affects the treatment, prognosis, and systemic condition of patients.We believe that patients with invasive EMPD require follow-up, considering the possibility of the development of malignant tumors that can influence the prognosis, in addition to genitourinary and colorectal cancers.None declared.Misato Ueda: Approval of the final version of the manuscript; design and planning of the study; drafting and editing of the manuscript; collection, analysis, and interpretation of data; effective participation in research orientation; intellectual participation in therapeutic conduct of studied cases; critical review of the literature; critical review of the manuscript.Makoto Omori: Approval of the final version of the manuscript; design and planning of the study; drafting and editing of the manuscript; effective participation in research orientation; intellectual participation in therapeutic conduct of studied cases; critical review of the manuscript.Ayumi Sakai: Approval of the final version of the manuscript; design and planning of the study; intellectual participation in therapeutic conduct of studied cases; critical review of the manuscript.None declared."}
+{"text": "This paper highlights the mutual influences and the relationships between the variables of type II diabetes, the type of psychiatric conditions, the administered treatment schemes, the imaging examinations and the impact on the functioning and quality of life of the patients.Analysis of the influences between diabetes and psychiatric disorders, studying the relationships between the variables of type 2 diabetes, the type of psychiatric disorders, treatmentregimens, imaging examinations and the impact on the functioning and quality of life of patients.Psychiatric interview, Hamilton, Reisberg and Rosenberg scales, laboratory analysysPatients with pre-existing diabetes, psychiatric disorders led to deterioration of its evolution, documented by HbA1c values, treatment schedule, frequency of diabetic emergencies; the increased frequency of psychotic phenomena is directly proportional to the number of diabetic emergencies; patients with uncontrolled, long-term diabetes have higher scores on HAM-D and Reisberg scales, while patients with controlled diabetes have higher scores on the self-esteem and quality of life scales; in patients with taste or odor disorders, cortical atrophy may be seen on CT examination, elevated HbA1c levels and the presence of polyneuropathy; alcohol consumption, smoking, high cholesterol levels, determine the advancement of diabetic complications, and these in turn correlate with higher scores on the HAM-D scales, Reisberg; patients who show large variations in blood glucose in the first days after hospitalization are those who exhibit irritability, irritability, nervousness and heteroaggression at the time of hospitalization;65% patients with depressive disorders, 10% - with organic personality disorder, 25% - with affective disorders and 30% associated with cognitive impairment. The duration of diabetes mellitus, glycosylated hemoglobin levels and the presence of diabetic complications is directly related to the HAM-D and Reisberg scores; and inversely proportional to quality of life scores and self-esteem.None Declared"}
+{"text": "Immediately after Russia commenced aggression against Ukraine, the Polish Psychiatric Association publicly called for humanitarian support for Ukraine and initiated meetings with representatives of Psychiatric Societies operating in Ukraine in order to identify current needs in the war-stricken areas and coordinateaid.The PPA allocated its financial resources to humanitarian aid and, through the EPA, appealed for condemnation of military operations as well as support for Ukraine by individual NPAs.According to the UHNR data over 4 million displaced people, refugees, came to Poland so far and some of them benefited from such help.The Polish Psychiatric Association supports the initiatives of non-governmental organizations supporting refugees and monitors and responds to the needs reported by the Ukrainian side on an ongoing basis. At present, the PPA activities focus on the following priorities:1. Need-adapted-help: Provision of customized aid - not only medications but also power generators, technical equipment. And so, the PPA shipped to Ukraine some basic equipment, sleeping mats, bedding, mattresses, backpacks, cleaning products, personal hygiene products, as well as tools for renovation and construction.2. Awareness - highlighting the consequences of Russia\u2019s aggression on people with mental disorders in Ukraine and its impact on the entire population . Inviting and lobbying for dissemination of personal reports of Ukrainian health care workers and patients at international conventions, forums, events3. Empowerment of personnel - strengthening competences required in provision of assistance in war-related disorders, training, projects of activities both across Poland and Ukraine4. Supporting and responding to the needs reported by local psychiatric assistance centers facilitating and strengthening the competence of personnel in helping refugeesNone Declared"}
+{"text": "The BRAIN Foundation hosted Synchrony 2022, a translational medicine conference focused on research into treatments for individuals with neurodevelopmental disorders (NDD), including those with autism spectrum disorders (ASD). One of the four roundtables focusing on some of the most difficult and unsolved problems in ASD focused on advancing the understanding and treatment of epilepsy and seizures in individuals with ASD. This is because epilepsy and seizures in ASD are more severe and difficult to treat as compared to those in typically developing individuals.Dr. Richard E. Frye, MD, Ph.D., President of the Autism Discovery and Treatment Foundation, chaired a roundtable with experts in epilepsy and ASD treatments. The selected experts gave presentations focusing on important topics . HoweverDr. Samuel Pleasure, MD, Ph.D., Professor of Neurology at the University of California, San Francisco, provided an overview of the role of autoimmunity in epilepsy. This included the specific characteristics of autoimmune epilepsy, specific autoantibodies involved in it, its syndromes, scoring systems used to assist in its diagnosis, and high-throughput techniques used for the discovery of novel autoantibodies that might drive it.Manuel F. Casanova, MD, Professor of Biomedical Sciences at the University of South Carolina, reviewed studies on ASD that indicated a high prevalence of brain malformations. Differences in cortical thickness, surface area, and cortical folding in neuroimaging studies indicate a disruption of normal brain development. Higher resolution studies using postmortem techniques evidence disturbances of both cell division and migration. A prominent commonality between human and animal models of ASD is the reduction in the number of parvalbumin interneurons. In ASD, the loss of these fast-spiking interneurons offers a neuropathological mechanism common to both seizures and executive dysfunction.Richard G. Boles, MD, Director of the NeuroGenomics Program at NeurAbilities and Chief Medical and Scientific Officer of NeuroNeeds, provided an overview of both genetic causes and contributors of epilepsy with a specific focus on ASD. He reviewed the large studies that outlined the genetic causes of epilepsy, specific cases of ASD in which novel de novo presumably causal variants were identified after extensive re-analysis of raw whole genome sequencing data, and inherited non-causal disease variants that may have provided a significant contribution to the underlying pathophysiological disease processes. Most significantly, Dr. Boles discussed various treatment approaches that could be implemented and improve outcomes in patients based on their identified genetic variation. He presented specific cases in which dramatic improvements in function and outcome resulted from the implementation of genetically guided treatments.Jeffrey Lewine, CEO of the Center for Advanced Diagnostics, Evaluation, and Therapeutics, discussed both clinical seizures and subclinical epileptiform activity in his presentation. Dr. Lewine demonstrated the significant advantage of using magnetoencephalography (MEG) for detecting subclinical discharges because of its increased sensitivity over standard and extended encephalography. Dr. Lewine demonstrated how MEG reveals patterns that correspond with clinical characteristics, such as language impairment and neurodevelopmental regression, and are predictive of the response to steroid treatment.John Gaitanis, Chief of Child Neurology at Hasbro Children\u2019s Hospital, Brown University, discussed several topics. Dr. Gaitanis introduced the novel hypothesis that individuals with ASD, neurodevelopmental regression, epilepsy, and aggressive behavior are linked. Dr. Gaitanis then went on to discuss the history of cannabis use in the treatment of epilepsy, demonstrating that it had originally been utilized to control the disorder in ancient China in 2838 BC by Shen Nung, the \u201cred emperor\u201d. Dr. Gaitanis went on to describe the important active components in cannabis and their mechanism of action on the brain. Dr. Gaitanis reviewed the preclinical and clinical studies supporting the use of cannabis in the treatment of epilepsy, including its marked efficacy for treating Dravet\u2019s syndrome and Lennox\u2013Gastaut syndrome.1, B9, E, and D; biotin; magnesium; manganese; selenium; calcium; and carnitine, and posited that a targeted multivitamin/mineral/micronutrient could be a safe and effective adjunctive treatment to other more traditional anti-epileptic drugs in order to improve seizure control in individuals with ASD.James Adams, Director of the Autism Program at Arizona State University, discussed dietary and nutritional changes in children with ASD and epilepsy and the implications of these changes on treatment. Dr. Adams reviewed the evidence for the use of the ketogenic diet and the modified Atkins diet for the treatment of epilepsy. Dr. Adams discussed the importance of key nutrients in pathways important for controlling seizures, including vitamins BLastly, Dr. Richard E. Frye discussed the specific metabolic disorders that are commonly associated with ASD and epilepsy, particularly cerebral folate deficiency, mitochondrial disorders, and redox abnormalities, including potential treatment approaches that have the potential to improve the disorder.Better defining the characteristics, etiology, diagnosis, and treatment of epilepsy in ASD, particularly in how they differ from epilepsy in those without ASD;Considering whether one unprovoked seizure should indicate initiation of anti-epileptic treatment given the high risk of its recurrence in individuals with ASD;Defining the difference between individuals with ASD who have early-onset and late-onset epilepsy;Defining the association between epilepsy and behavioral exacerbations;Defining the influence of common comorbid conditions on epilepsy, especially with the possibility of leveraging treatment of these comorbid abnormalities to improve treatment of epilepsy in ASD;Defining medical care models for improving seizure control in those with ASD.The discussion throughout the roundtable session converged on several important points that parents, clinicians, and scientists agreed should gain more attention: In an effort to move forward, many of the panelists agreed to work together to develop several review papers outlining current knowledge, defining knowledge gaps, and providing recommendations based on the available data. The ultimate goal of the group will be to develop a guideline that will be useful for clinicians in improving the care of children with ASD and epilepsy."}
+{"text": "Depending on the specific neuronal subtype, human axons extend over distances that range from a few microns to over a meter in length. Accordingly, axons contain proportions of the neuronal cytoplasm that far surpass that of the somato-dendritic domain by thousands of orders of magnitude. Remarkably, nearly all cellular components contained in axons must be actively transported from their main site of synthesis at the neuronal soma. This daunting cellular process, collectively referred to as ) Black, , is furt) Black, . The larunique complements of membrane-bounded organelles (MBOs), cytoskeletal and soluble protein components. For example, the rapid propagation of action potentials in myelinated neurons depends on acute voltage-sensitive portions of the axonal plasma membrane at the AIS and nodes of Ranvier. This is achieved by the local insertion of vesicles containing specific subsets of voltage-gated sodium and potassium channels at the AIS axolemma, as well as the insertion of vesicles containing a different subset of channels to the nodes of Ranvier's axolemma , nodes of Ranvier, and presynaptic terminals are primary examples of discrete axonal subcompartments sustaining neuronal connectivity. Their specialized functions require a continuous, highly localized supply and turnover of phosphorylation represents the most widespread and better-documented mechanism. By extension, research addressing the roles of kinases and phosphatases in the axonal compartment is essential for a complete understanding of neuronal function.The correct functionality of specialized axonal subcompartments requires the coordination of diverse cellular processes including AT, assembled and localized remodeling of the cytoskeleton, spatial restriction of signaling pathways, and recycling of old materials and defective MBOs, among many others. From various mechanisms that regulate proteins involved in the execution of these cellular processes, Baculis et al. suggests a potential mechanism linking neuronal activity to ERK1/2 kinases and levels of potassium Kv7.3 channels inserted at the AIS to collectively modulate neuron-wide responses, including transduction of signals to the distant neuronal nuclei and the control of protein synthesis (Berth et al. discusses published work on the roles played by several protein kinases on specific molecular events supporting macroautophagy, a cellular process involving sequestration, packaging, and delivery of old and defective cellular components to lysosomes for degradation (Two manuscripts discuss both hypothesized and established roles of specific protein kinases in the regulation of cellular processes sustaining axonal health. ynthesis . In addiradation .Consistent with a critical role of kinases and phosphatases on axonal function, a large body of genetic and experimental evidence has linked alterations in their activities to axonal pathology, an early pathological signature common to most neurodegenerative disorders. Specifically, work from various experimental systems revealed that specific neuropathogenic proteins promote abnormal activation of selected axonal kinases and phosphatases, alterations in AT, and axonopathy (Brady and Morfini, Waller and Collins focuses on SARM1, an enzyme that acts as a sensor of metabolic stress and a critical component of pathways leading to axonal degeneration. These authors discuss findings supporting bi-directional regulation of axonal SARM1 and JNK kinases, as well as SARM1's ability to inhibit regeneration of injured axons through activation of the MAPK kinase ASK1 and its downstream effector kinase p38 (Baltissen et al. reports that a soluble fragment derived from proteolytic cleavage of the Alzheimer's disease-related protein APP ameliorates neuropathological features in a mouse model of a human tauopathy. Interestingly, this beneficial effect was associated with the inhibition of the kinase GSK3, which is aberrantly activated in this model and has been shown to inhibit anterograde AT (Morfini et al., Richards and Jaesnich hypothesizes a potential mechanism underlying axonal pathology and neurological complications associated with SARS-CoV-2 infection. This hypothesis is based on independent lines of experimental evidence showing that SARS-CoV-2 promotes the secretion of glial cytokines known to activate the kinases p38 and CK2, and reports show that active forms of these kinases inhibit AT by directly phosphorylating motor proteins (Morfini et al., A mini-review by nase p38 . In addiThe focus of this Research Topic is unique because it specifically features research on kinases, phosphatases, and phosphorylation-dephosphorylation-based mechanisms relevant to axonal function and pathology. Considering the rapid advance of methodologies for the study of kinases and phosphatases (White and Wolf-Yadlin, GM wrote the original draft. Both authors made substantial, direct, and intellectual contributions to the work. Both authors approved the final version of this Editorial for publication."}
+{"text": "The accumulated experience, both with typical and atypical children, led to the desire for an easier integration into the collective.Detecting and encouraging the skills of the atypical child, with the help of combined arts techniques and environmental stimulation, supports their\u2019s integration into the comunity.Beneficiaries-Centered Art therapy, with the aim of identifying and developing outstanding skills, trough environmental manipulation and combined arts techniquesThe environmental manipulation method is used in the art therapy session trough artistic installations and colorful fabrics. Trough chromatics and textures are generated different contexts and atmospheres sense, through which the atypical child comes to accept and discover that environment. Through the manipulation of artistic installations, gross motor skills are also required, having to produce large movements with the whole body, in order to shape the elements in the environment.Costume making as a transitional phase in the adaptation of the beneficiary to the previously created environment independently or together with the art therapist, consists in harmonizing the beneficiary with the environment. These stages are achieved through mixed techniques of artistic work, painting, decorating, modeling, collage, weaving and binding techniques.By practicing these methods during the art therapy sessions, the beneficiaries increased their self-esteem through the achievements they had and discovered and improved their outstanding skills: fine and gross motor skills, color sense, visual thinking, hand-eye coordination; improved and developed both verbal and non-verbal communication between beneficiary - art therapist and beneficiary - beneficiary, in the case of group sessionsImage:Image 2:Image 3:The role of the artist/Art-therapist can be to identify and encourage the creative potential of the beneficiaries by making both individual and team artworks; to support social integration through art and to value the outstanding skills of the beneficiaries.None Declared"}
+{"text": "Dear Editor,A one-year-old boy had erythematous-violaceous macules on the left lower limb and trunk since birth , associaThe investigation showed a normocephalic child, cervicothoracic scoliosis, posteriorly rotated ears, straight palpebral fissures, enlarged nasal base, retrognathia, flattened nasal philtrum, high palate, downturned oral commissures, and a palpable mass in the right epigastric region. He also had hemihypertrophy of limbs, enlarged hands and toes , and increased feet volume (left foot larger than the right one) with syndactyly between the second and the third and between the fourth and the fifth toes on the right. Vascular malformations were observed in the left lower limb, dorsum, thorax and genital region, besides linear epidermal nevus on the thorax. He had adequate neuropsychomotor development, without ocular alterations. The genetic analysis disclosed a male karyotype , with no qualitative or structural alterations.aProteus syndromebMaffucci SyndromecKlippel-Trenaunay-Weber syndromedMilroy DiseaseNamed in 1983 by Wiedmann et al.,The clinical manifestations are variable, with cases ranging from focal changes (isolated macrodactyly),The diagnosis of Proteus syndrome is based on clinical criteria, making it necessary to differentiate from other hamartoses, such as Klippel-Trenaunay-Weber and Maffucci syndromes .2Table 1Treatment is individualized and multidisciplinary, requiring a psychological and psychomotor evaluation when orthopedic and vascular surgical approaches are indicated. Oral inhibitors of the mTOR pathway (sirolimus 0.1\u202fmg/kg/d) have been reported to be effective in preventing the growth of connective tissue hamartomas.This child was followed by the dermatology, pediatrics, psychology, vascular surgery and orthopedics teams for 12 years. At the age of ten, he experienced a worsening of the gigantism of the lower limbs, leading to difficulty in walking and weight loss. The multidisciplinary team decided for a transtibial amputation of the right lower limb and a transfemoral amputation of the left lower limb.None declared.B\u00e1rbara Elias do Carmo Barbosa: Drafting of the manuscript; effective participation in research orientation; effective participation in propaedeutics; critical review of the literature; critical review of the manuscript; approval of the final version of the manuscript.Melissa Almeida Corr\u00eaa Alfredo: Drafting of the manuscript; effective participation in research orientation; effective participation in propaedeutics; critical review of the literature; critical review of the manuscript; approval of the final version of the manuscript.Luciana Patr\u00edcia Fernandes Abbade: Drafting of the manuscript; effective participation in research orientation; effective participation in propaedeutics; critical review of the literature; critical review of the manuscript; approval of the final version of the manuscript.H\u00e9lio Amante Miot: Drafting of the manuscript; effective participation in research orientation; effective participation in propaedeutics; critical review of the literature; critical review of the manuscript; approval of the final version of the manuscript.None declared."}
+{"text": "Berry fruits contain a wide range of nutrients such as fiber, vitamins, minerals, and bioactive compounds such as (poly)phenols. Emerging scientific evidence supports their health-promoting potential against oxidative stress, inflammation, vascular dysfunction, and numerous metabolic dysregulations. However, most of the evidence derives from in vitro and animal models, while observations from human studies deserve further investigation. The Special Issue \u201cBerries and Human Health: Mechanisms and Evidence\u201d was open for submission of original research manuscripts focused on (i) dietary intervention studies exploring the role of berries and their (poly)phenols in the protection and promotion of human health; (ii) cell culture and animal studies devoted to evaluating the molecular mechanisms underpinning the modulation of metabolic and functional activities; (iii) systematic reviews and/or meta-analyses investigating the impact of berries in the modulation of risk factors and health outcome.This Special Issue features six contributions: two original articles ,2 and foRubus chamaemorus L.) attenuated the development of metabolic inflammation in a high-fat diet mouse model of obesity. Results showed that 6- and 12-week supplementation with cloudberry prevented the rise in the systemic inflammation marker serum amyloid A and the hepatic inflammation/injury marker alanine aminotransferase, as well as the increase in the expression of many inflammation-related genes in the liver and adipose tissue.The two articles focused on the anti-inflammatory effect of two different berries in animal models ,2. In deKim and coworkers evaluateThe four reviews collected in the Special Issue cover different topics. The review by De Amicis and colleagues focuses The remaining three reviews focus on the effects of berries on markers of cardio-metabolic health. Vendrame et al. providedFinally, the review by Venturi and coworkers summarizTaken together, results from the papers included in this Special Issue provide further evidence about the potential beneficial effects of berries on markers of human health, mostly related to cardiometabolic health and cognitive function. However, due to the heterogeneity of results found within studies, further evidence is needed to better elucidate the valuable role of the inclusion of berry fruits in the diet and the mechanisms that underpin such potential health effects."}
+{"text": "The Inaugural Monash International Health Science and Technology Conference (MONASH INITIATE), with the theme \u201cInspiring Innovation via Multidisciplinary Collaboration,\u201d held in the School of Pharmacy of the Monash University Malaysia on 16th\u201317th June, 2021. The conference attracted over 100 local and international attendees with participation from Malaysian and foreign universities, research institutions and industry partners.The Research Topic aims to gather selected pharmacology-focused contributions to, The Research Topic compiles five high-quality review articles contributed by scientists in the field. The Research Topic of these publications revolve around cancer therapy, the traditional uses of medicinal plants, and the molecular mechanisms of phytochemicals in anticancer applications. These articles provide comprehensive overviews of the current research and knowledge in drug delivery and natural products-based drug discovery areas.Miatmoko et al., outlines the delivery of Ursolic acid by nano particles, namely, liposomes, nanospheres and polymeric micelles in cancer therapy. The authors highlighted that nanoparticles in particular are effective in improving relative survival rate; reducing tumor resistance, and improving tumor tissue histopathology. They are safe to be used preclinically and clinically, and it is worth noting that the use of liposome delivery of ursolic acid is in a phase 1 clinical trial.A scoping review article by Arbain et al., discussed the distribution, traditional uses, phytochemicals and biological activities of 96 species of Alocasia. The genus is distributed across Asia, Southeast Asia and Australia. Phytochemicals from the genus of the plants can be categorized into lignan, saponin, alkaloids, and phenolic compounds. Despite demonstrating numerous biological activities, including antidiabetic, antinoceptive, antiinflammation effects, the author highlighted the compound alocasgenoside B from A. cucullata tuber was potently cytotoxic to the cancer cells in-vitro.The systematic review article by Khuayjarernpanishk et al., outlined the anticancer activities of Polygonum odoratum Lour. The review highlighted eight anticancer studies from the phytochemicals of Polygonum odoratum including Flavanoids, tannins, and saponins. A range of cancer cell lines was screened and their anticancer activity reported against oral, lung, breast, colon, liver, T lymphoblast, lymphoma, and leukemia cells. The mechanistic study was reported, and included the inhibition of Akt expression, phosphorylated Akt, mTOR, and phosphorylated mTOR. The authors also identified the gaps and limitations in the current research that warrants future study, including the discovery and identification of different classes of phytochemicals as well as informed in-vivo studies.A systematic review by Yang et al., focuses on the mechanism of action of Scutellaria barbata on hepatocellular carcinoma. A rather systematic multi-step investigation biodiscovery approach was utilized in this study. Initially, the active components of Scutellaria barbata were identified using a database of traditional Chinese medicine compounds. Then, the potential targets of these active components were predicted using network pharmacology tools. Following that, the hepatocellular carcinoma related genes were collected from various databases, and the overlapping targets between Scutellaria barbata and hepatocellular carcinoma related genes were identified. Further analysis was conducted to explore the potential biological functions and pathways involved in the interactions between Scutellaria barbata and hepatocellular carcinoma. Eventually, the effect of Scutellaria barbata, a widely used medicinal herb in traditional Chinese medicine, was found to exert modulation of various signaling pathways, such as the PI3K/AKT, MAPK, and NF-\u03baB pathways in hepatocellular carcinoma.Meanwhile, Liang et al., reviews current literature on the anticancer applications of phytochemicals in gastric cancer. It summarizes the effects of different phytochemicals, such as flavonoids, phenolic compounds, alkaloids, and terpenoids, on gastric cancer cells in laboratory settings and animal models. Various mechanism of actions associated with the anticancer effect were detailed, including inhibiting cancer cell proliferation, inducing apoptosis (programmed cell death) in cancer cells, suppressing angiogenesis (formation of new blood vessels that supply tumors), inhibiting metastasis (spread of cancer to other parts of the body), and modulating signaling pathways involved in cancer development and progression. The article articulates the potential synergistic effects of combining different phytochemicals or combining phytochemicals with conventional chemotherapy or radiotherapy in the treatment of gastric cancer. It also emphasized a discussion on safety and bioavailability of phytochemicals, and their potential use as adjuvants to conventional therapies in gastric cancer patients.Finally, These publications provide valuable insights into the current research on cancer therapy which exploit the traditional uses of medicinal plants, nanoparticles, and the potential integration of network pharmacology methodology in identifying bioactive(s) and the elucidation of their molecular mechanism actions in cancer treatment. These publications contribute to the understanding of these fields and may serve as references for further research and development of novel cancer therapies. The editorial team would like to express gratitude to the review editors, reviewers, and authors for their contribution to this Research Topic. The editorial team is looking forward to having interested researchers participate in the forthcoming Monash INITIATE 2023 on 25th\u201326th October 2023 at Monash University Malaysia."}
+{"text": "Glioma is a rapidly growing and aggressive primary malignant tumor of the central nervous system that can diffusely invade the brain tissue around, and the prognosis of patients is not significantly improved by traditional treatments. One of the most general posttranslational modifications of proteins is glycosylation, and the abnormal distribution of this modification in gliomas may shed light on how it affects biological behaviors of glioma cells, including proliferation, migration, and invasion, which may be produced by regulating protein function, cell\u2014matrix and cell\u2012cell interactions, and affecting receptor downstream pathways. In this paper, from the perspective of regulating protein glycosylation changes and abnormal expression of glycosylation-related proteins (such as glycosyltransferases in gliomas), we summarize how glycosylation may play a crucial role in the discovery of novel biomarkers and new targeted treatment options for gliomas. Overall, the mechanistic basis of abnormal glycosylation affecting glioma progression remains to be more widely and deeply explored, which not only helps to inspire researchers to further explore related diagnostic and prognostic markers but also provides ideas for discovering effective treatment strategies and improving glioma patient survival and prognosis. Glioma is among the most frequently occurring primary brain tumors and accounts for \u223c80% of primary malignancies in the central nervous system (CNS) . NumerouAlthough studies regarding the impact of DNA mutations on tumor progression provide genetic insights into cancer biology, the crucial role of epigenetic alterations in the development and treatment response of gliomas has recently attracted much attention \u20136. ProteIn the following work, we first describe the current understanding of glycosylation modifications, including N-linked glycosylation and O-linked glycosylation, sialylation, and fucosylation, and their implications for the progression of neoplastic diseases. Apart from summarizing the emerging evidence for glycosylation in glioma, we talk about how aberrant glycosylation mechanism is correlated with the proliferation and migration of glioma. Considering glycosylation alterations and the aberrant expression of glycosylation-associated enzymes in glioma, potential biomarkers and therapeutic targets are finally discussed. This review aims to yield a profound understanding of how abnormal glycosylation conduces to the proliferation, invasion and metastasis of glioma and to inspire novel strategies utilizing these changes in the advancement of biomarkers and targeted therapy.At present, many kinds of glycosylation process have been identified in mammalian species. In this paper, N-linked and O-linked glycosylation are mainly discussed according to the classification of linkage relationships between oligosaccharides. In addition, sialylation and fucosylation can be added to both and are also included. These glycosylation patterns are closely associated with glioma progression.N-linked glycosylation is one of the most general synergistic/posttranslational modification in eukaryotes; that is, oligosaccharides attach to nascent proteins by forming N-glycosyl bonds between monosaccharides and asparagine residues of the consensus sequence Asn-X-Ser/Thr/Cys, which has a profound impact on protein folding, oligomerization, quality control, and physiological function , 12.2. (ii) Under the replacement of Alg1, Alg2 and Alg11 mannosyltransferases (MTases), . I. I96]. Ima cells .Glycosylation is also the research direction of glioma treatment strategy because it can promote the drug delivery process, affect the interaction in targeted therapy and improve the stability of targeted drug delivery during the treatment. For example, human bone marrow mesenchymal stem cells (BM-hMSCs) have unique characteristics, including the ability to migrate or home and transplant into GBM, and have been investigated for therapeutic delivery in GBM, while their entry into tissues is largely dependent on glycosylation of glycan-glycans and glycan-protein adhesions between cells and the endothelium. It has been demonstrated that glycan composition differs between tissues causing homing of BM-hMSCs and tissues hindering BM-hMSCs in preclinical glioma stem cell xenograft (GSCX) models of GBM . In anotMultiomics analyses, such as TCGA and the Repository for Molecular Brain Tumor Data Repository (REMBRANDT), have revealed many cancer-related potential molecular targets, and the application of these successful personalized medicine approaching in other cancers is often unsatisfactory in gliomas . For exaThe application of glycosylation in glioma treatment strategies is discussed from the perspectives of glycosylation inhibitors, expression changes in glycosylation-related enzymes, promotion of drug delivery and targeted therapy, and potential molecular targets. In view of the link between abnormal glycosylation and the malignant behavior of glioma, the current research on glycosylation-related strategies is multifaceted and not limited to the four categories above. For example, Wen et al. tried to disrupt the interaction between neuron glial antigen 2 (NG2) chondroitin sulfate proteoglycan and galectin-3 to reduce glioma cell invasiveness, while N-linked glycosylation of NG2/D3 (D3 domain of NG2 core protein) was crucial in the interaction between the two . StudiesOverall, this article focuses on the evidence for aberrant glycosylation in glioma and its impact on tumor progression, related biomarkers and targeted therapeutic strategies. First, we summarized the research evidence that confirmed abnormal glycosylation in glioma cells and extracellular matrix based on the classification and specific process of glycosylation. Then, we investigated the specific mechanism of abnormal glycosylation affecting glioma progression from the perspectives of regulating protein function, affecting cell\u2012cell interactions, and triggering receptor downstream pathways. Its effects include promoting glioma cell proliferation, migration, and invasion, thereby enhancing the malignant characteristics of glioma. Finally, we discuss the utility of aberrant glycosylation in biomarkers and targeted therapies. In terms of markers, from the occurrence of altered protein glycosylation and abnormal expression of glycation-related proteins in gliomas, some proteins are expected to give some enlightenment for the advancement of novel diagnostic or prognostic biomarkers. In terms of treatment, this article discusses glycosylation inhibitors, regulation of glycosylation-related enzyme expression, promotion of drug delivery and targeting, and other targeted strategies and related targets. Although the current research on glycosylation and gliomas has involved many aspects and multiple angles, this topic needs to be more deeply explored compared with similar studies on other malignancies. For example, it is also necessary to enhance our thinking and understanding of (i) specific pathways downstream of receptors triggered by abnormal glycosylation; (ii) the link between glycosylation and glioma immunosuppression and evasion; (iii) how to apply the conjecture of glycosylation-related treatment strategies mentioned above to clinical practice; and (iv) how to break through tumor heterogeneity, signaling pathway redundancy and the blood\u2012brain barrier and strengthen the thinking and understanding of glycosylation-related glioma treatment and prognosis. With the development of data science, the existing glycosylation databases such as OGT-PIN and NetNGlyc can help the prediction of O-linked glycosylation and N-linked glycosylation modification sites respectively , 165. So"}
+{"text": "The intention of this Special Issue is to highlight the peculiarities of low-intensity/low-concentration exposures for organisms and to examine the molecular mechanisms of the organismal responses.Low-intensity exposures are the most unexplored field of modern molecular toxicology. A lack of knowledge on the mechanisms of low-intensive factors causes problems in (1) the prediction of biological effects, (2) overcoming negative consequences, and (3) the application of positive results. Therefore, the analysis of low impacts is topical from both fundamental and applied standpoints, particularly important for ecology, biology, and medicine.Studies of the biological effects of low-dose exposures have been conducted since the 1960s ,3. ModerStudies of biological responses to various bioactive compounds and the radiation of different types under the conditions of low-intensity exposures were encouraged in this Special Issue. A chemical and biochemical basis for these responses was of interest. The results presented contribute to understanding the molecular mechanism of \u201chormetic\u201d responses to low concentrations of bioactive compounds and low-intensity radioactivity. One of the findings of this Special Issue is that the time of low-intensity exposure is a critical parameter in hormetic responses, along with the dose and type of active compounds . SimilarThe biomedical aspect of low-intensity exposure is the most evident in the papers published in the Special Issue. For example, antimicrobial, anti-inflammatory, and tissue-stimulating effects of cold argon atmospheric plasma (CAAP) accelerate its use in various fields of medicine. Ermakov and coworkers investigThe work of Hanson and coworkers focuses Kovel and SushThe advantages of bacterial bioluminescent bioassays were applied while studying the bioactivity of iron oxide nanoparticles and diffUnder the conditions of model oxidative stress, the bacterial bioassay revealed prooxidant activity, with a corresponding decay in the content of reactive oxygen species . The resThe review by Kolesnik and coauthors focused As an outline, the current Special Issue combined successfully research works which elucidated the molecular mechanisms of organismal low-dose/low-intensity responses to different physico-chemical factors, such as cold argon atmospheric plasma, low-dose radiation, and nanomaterials of different structures."}
+{"text": "Neurometabolic imaging is the study and measurement of neurometabolic activity in the brain using various imaging methods. It is an important field of neuroimaging that has been widely employed in clinical research. Emission computed tomography and fMRI are among the methods used. Because of the benefits of non-invasive, non-radiation, and reproducible scanning, fMRI remains the primary imaging tool for the investigation of neurometabolism. This Research Topic contains a collection of papers on the application of neurometabolism-related fMRI methods to clinical disorders, intending to summarize research accomplishments in the field of neurometabolic imaging and probable future paths of development.Wu et al. used 1H-MRS (proton magnetic resonance spectroscopy) technology in conjunction with the Mescher-Garwood point resolved spectroscopy sequence to detect metabolite levels in the brain of MRI-negative temporal lobe epilepsy (TLE) patients and discovered \u03b3-Aminobutyric acid to be a potential biomarker for lateralization and monitoring the frequency of epileptic seizures in TLE patients in this Research Topic. However, MRS has long had drawbacks such as low spatial resolution and signal-to-noise ratio, as well as limited resolution of overlapping peaks, whereas chemical exchange saturation transfer imaging, a newer noninvasive method for characterization and quantification of intracerebral metabolites, has high sensitivity and spatial resolution. Zheng H. et al. discovered that the GluCEST technique was able to identify brain biochemical changes after acute carbon monoxide poisoning earlier than conventional MRI, and that the CEST technique might be able to compensate for the shortcomings of MRS to some extent. Lin et al. used 1H-MRS combined with the GluCEST technique to evaluate the condition and prognosis of patients with acute bilirubin encephalopathy, and discovered that the combination of the two could monitor metabolite levels in the patients' brains and assess the severity of the disease. In a multimodal magnetic resonance study of patients with bipolar disorder and depression, Kong et al. combined 1H-MRS, GluCEST, and diffusion kurtosis imaging techniques and discovered that the combination of multiple techniques helped to differentiate between these two disorders. Multimodal magnetic resonance methods will remain appealing and beneficial in the future as one of the avenues of advancement in neurometabolic imaging research.Magnetic resonance spectroscopy is a well-established method for quantifying metabolite concentrations in the brain. ex (proton exchange rate) MRI technique. DTI-ALPS is a new technique capable of quantitatively measuring the function of the lymphoid system proposed by Taoka et al. (On the other hand, the invention and refining of novel neurometabolic imaging methods are equally important research avenues. By investigating whether CEST-based ka et al. , and whia et al. , for exaIn conclusion, this Research Topic article enumerates the use of various types of neurometabolic imaging technologies in clinical research, emphasizes that the cross-use of different technologies and the advancement of new technology development can help to broaden the research space and improve the credibility of experiments, and enumerates the prospects for the use of corresponding technologies in various types of diseases. It serves as a resource for understanding the advancement of neurometabolic imaging techniques and directing future research.WZ: Data curation, Project administration, Writing\u2014original draft, Writing\u2014review and editing. ZD: Project administration, Writing\u2014review and editing. RW: Conceptualization, Project administration, Supervision, Writing\u2014review and editing. HS: Project administration, Writing\u2014review and editing."}
+{"text": "Novel Therapeutic Approaches to Treat Neuroinflammation in the CNS as a Research Topic for Frontiers in Pharmacology. The topic is focused on neuroinflammation as a marker of multiple pathological conditions. Studies on the mechanisms associated with CNS-centered inflammation provide us with the knowledge to design safer and more effective therapeutics for treating various diseases.We are excited to present Hou et al. on the in vivo effect of Chinese Dodder seed, a medicinal plant, on the gut-neuroinflammation axis. The study uses a chronic unpredictable stress-induced depression model in mice to assess the effect of plant-derived compounds on multiple markers of inflammation, including proinflammatory cytokines, inflammatory proteins, and microglia activation. The observed anti-inflammatory effects were correlated with the changes in the gut microbiota of treated animals. Finally, Hou et al. stated the importance of the combination effects of chlorogenic acid and hypercin, the main constituents of this plant extract, on the in vivo outcomes.Our issue begins with an original research paper by Zhang et al. report the effect of levetiracetam, an antiepileptic drug, on the cognitive function of diabetic rats. Using the streptozotocin-induced diabetes model, the authors observed dose-dependent enhancement of cognitive function and hippocampus morphology of treated rats, as well as inhibition in microglia activation and CNS inflammation levels. This novel work is the first to report the ability of FDA-approved levetiracetam to prevent microglia polarization and induce mitochondrial M2 transformation as part of the cognitive impairment treatment strategy.The interplay between metabolic diseases and immune responses, immunometabolic responses, is a significant factor that defines clinical representation and treatment outcomes for multiple disorders, including diabetes and obesity. Further, microglia activation in animals has been linked with neuronal injury and cognitive impairment, possibly explaining higher risks of cognitive dysfunction in patients with diabetes. Lullau et al. have shown that multifaceted actions of this polypharmacological CNS agent result in a rapid and potent reduction of depression symptoms, increased stress resilience, and reversal of stress-induced dysfunctions.In the comprehensive review by a Norway team of scientists, the potential role of ketamine in the treatment of resistant cases of depression disorders has been assessed from multiple aspects, including neuroinflammation, neurotoxicity, and neurodegeneration. Archie et al. looking at the bases of postnatal neuroinflammation associated with prenatal e-sig exposure. The data conclusively show high levels of oxidative stress and mitochondrial dysfunction in pups of CD1 mice exposed to the e-cig vapor with 2.4% nicotine. In addition, higher levels of neuronal injury markers were observed in the postnatal brain, linking this publication to the previous work by this research team on the deterioration of motor, learning, and memory function in e-cig-exposed animals. These data warrant extensive studies on the effect of vaping in pregnant women on the levels and longitude of neuronal injury in neonates.Our issue is concluded with the original research article by Novel Therapeutic Approaches to Treat Neuroinflammation in the CNS\u201d provides recent advances in the deconvoluting mechanisms involved in this pathological process and identifying effective therapeutic strategies for the corresponding treatments. We acknowledge the contributions of all authors to make this research volume possible.Taken together, the issue of this Research Topic: \u201c"}
+{"text": "Editorial on the Research TopicEducation and learning for digital healthEducation and Learning for Digital Health sparks novel thinking and insights into how and why health professionals learn to use emerging technologies. The Research Topic builds on established educational practices and associated works of literature on e-learning, blended learning, immersive virtual reality, digital simulations, and virtual patients. See for example the Frontiers Research Topic, Advancing Teaching and Learning in Health Sciences Across Healthcare Professionals. Many robust educational resources and tools for digital health have been developed, including Health Education England's e-learning for health (https://www.e-lfh.org.uk/). The COVID-19 pandemic impelled further innovation in health professionals\u2019 online learning as education providers worked tirelessly to avoid disruption to learning, as captured in the Frontiers Research Topic, Impact of COVID-19 on Healthcare Professions Education.At a time of rapid digital innovation, the Research Topic, 17 world-leading clinicians, researchers, and educators from Australia, Canada, the United States, and the Republic of Ireland, together with the expertise of article editors and peer reviewers from Finland, Netherlands, Ireland, Australia, the United Kingdom, United States, and Canada, advance the scientific paradigm of the discipline in four specific areas:\u2022Health professionals learning to adapt and use virtual care (VC)\u2022Digital professionalism in the use of smartphone technologies\u2022Preparing medical students to use artificial intelligence (AI) and machine learning (ML)\u2022Safe use of virtual reality (VR) technologies in professional educationIt is significant that the international collaborations, studies, and articles on this Research Topic were all produced during the pandemic. In effect, this context ignited digital health by necessity in order to maintain clinical care during social distancing and infection control protocols, while safeguarding human rights and preserving the ethics of healthcare.The articles in this Research Topic, which have been produced by Virtual Care and COVID-19: A Survey Study of Adoption, Satisfaction, and Continuing Education Preferences of Healthcare Providers in Newfoundland and Labrador, Canada, provides insights into healthcare providers\u2019 experiences during the unfolding pandemic. It demonstrates that not all VC methods were perceived to deliver the same quality of care that would be expected in traditional face-to-face clinical encounters, but there can be other advantages for maintaining virtual proximity to patients whilst minimising the risk of infection transfer. As a result, the authors recommend healthcare provider organisations ensure VC is backed up with Continuing Professional Development (CPD), guidelines, and resources including patient educational support.For example, in the first article, authors Vernon Curran, Ann Hollett, and Emily Peddle explain how the use of virtual care, such as virtual examinations, clinical assessments, and remote patient monitoring, expanded during COVID-19 to enable continued access to healthcare. Their survey study, Smartphone Technology for Clinical Communication in the COVID-19 Era: A Commentary on the Concerning Trends in Data Compliance. They argue that smartphone technologies afforded clinicians and patients many observed advantages during COVID-19, yet the long-term use of such devices needs to be compliant with protecting patient data security and privacy. Solutions offered include healthcare institutional guidelines, supportive digital professionalism training, and education opportunities.The second article focuses on the legal and ethical dimensions of smartphone technology. From the Republic of Ireland, Bernadette John, Christine McCreary, and Anthony Roberts authored The Desire of Medical Students to Integrate Artificial Intelligence Into Medical Education: An Opinion Article. They draw on their wealth of experience in precision medicine, drug discovery, diagnostics, and hospital administration to argue that the advancement of AI and machine learning algorithms are reshaping the way physicians and healthcare providers approach the practice of medicine. They call for medical schools across the world to take up their essential educational role to ensure that changes to healthcare are for the better and that future physicians will be more competent, inventive, and compassionate in the medicine of tomorrow.The authors of the third article in this Research Topic suggest that changes to support future healthcare should begin in medical schools. From the United States, authors Timothy Frommeyer, Reid Fursmidt, Michael Gilbert, and Ean Bett elaborate on Innovation During a Pandemic: Developing a Guideline for Infection Prevention and Control to Support Education Through Virtual Reality. Their article focuses on virtual reality as an educational technology with the ability to deliver flexible and immersive education. Their attention to safe infection control practices of VR head-worn display systems is ensuring safer transfer between clinicians.The fourth article considers how, alongside changes in curricula content, advanced technologies are changing the modes of education delivery to provide digitally enhanced learning experiences. From Australia, authors Nathan Moore, Kathy Dempsey, Peter Hockey, Susan Jain, Philip Poronnik, Ramon Shaban, and Naseem Ahmadpour explain their work on The insights from these articles show that education and learning for digital health need to address a growing range of patient rights, professional practice, and governance issues. The issues extend from the level of individual practitioner's use of technologies protecting patient confidentiality; to institutional policies, data licencing, copyright agreements, and intellectual property rights; to whole health system design and regulation of digital health technologies; as well as raising public awareness and trust in such advances .The Good Side of Technology: How We Can Harness the Positive Potential of Digital Technology to Maximize Well-being. The design and use of advanced technologies in healthcare are increasingly looking beyond hybrid and \u201chuman in the loop\u201d models towards the symbiosis of human-AI intelligent caring in healthcare design, resourcing, evaluation, and improvement (Looking to the future, it is through the combination of education and learning in humans and machines that new knowledge will gain the greatest power to maximise well-being, as explored in the related Frontiers Research Topic, rovement . This nerovement reinforcrovement . The iderovement takes thThe present innovative digital health landscape creates an opportunity to rapidly advance human-AI intelligent caring through enhanced educational curricula and transformative learning experiences ("}
+{"text": "The worldwide spread of the COVID-19 pandemic affected all major sectors, including higher education. The measures to contain this deadly disease led to the closure of universities across the globe, introducing several changes in students\u2019 academic and social experience. During the last two years, self-isolation together with the difficulties linked to online teaching and learning, have amplified psychological burden and mental health vulnerability of students.We aimed to explore in depth students\u2019 feelings and perspectives regarding the impact of the COVID-19 on their mental health and to compare these data among students from Italy and the UK.Data were resulting from the qualitative arm of \u201cthe CAMPUS study\u201d, a large ongoing project to longitudinally assess the mental health of university students enrolled at the University of Milano-Bicocca and the University of Surrey . We conducted in-depth interviews through the Microsoft Teams online platform between September 2021 and April 2022, and thematically analysed the transcripts.A total of 33 students (15 for Unimib and 18 for UoS), with a wide range of sociodemographic characteristics, were interviewed. Four themes were identified: i) impact of COVID-19 on students\u2019 mental health; ii) causes of poor mental health; iii) most vulnerable subgroups; vi) coping strategies.Anxiety symptoms, social anxiety, and stress were frequently reported as negative effects of the pandemic, while the main sources of poor mental health were identified in loneliness, exceeding time online, unhealthy management of space and time, bad organization/communication with university, low motivation and uncertainty about the future. Freshers, international or off-campus students, as well as both extremely extroverted and introverted subjects, represented the most vulnerable populations, because of their extensive exposure to loneliness. Among coping strategies, the opportunity to take time for yourself, family support, and mental health support were common in the sample.Some differences were found comparing students from Italy and the UK. While at Unimib the impact of COVID-19 on mental health was mainly described in relation to academic worries and the inadequate organization of the university system, UoS students, familiar to the conviviality of campus life, explained these effects as a result of the drastic loss of social connectedness.The current study highlights the key role of mental health support for university students, mainly during crisis times, and calls for measures to improve communication between students and the educational institution, as well as to encourage social connectedness.None Declared"}
+{"text": "Editorial on the Research TopicEfficacy, safety and biomarkers of novel therapeutics and regimens in the peri-operative setting of bone and soft tissue sarcomaRecent strides in the field of oncology have witnessed new advances and hope for patients with bone and soft tissue sarcomas. This research topic explores the evolving landscape of novel therapeutics and regimens in the peri-operative setting, highlighting their efficacy, safety, and the role of biomarkers in guiding treatment decisions for treating these rare diseases.The paradigm shift from amputation to limb salvage surgery seen 3 decades ago reflects the emergence of peri-operative chemotherapy and the understanding of tumor biology of sarcoma by sarcoma surgeons and tremendously impacts the treatment regimens of sarcoma . SimilarLi et al.), the early experience of implementing cytoreductive surgery (CRS) plus hyperthermic intraperitoneal chemotherapy (HIPEC) for peritoneal malignancies , the safety and risk factors of chest wall malignant tumor as well as the clinicopathological features of giant cell hemangioblastoma . These results have greatly improved our therapeutic armamentarium against bone and soft tissue sarcoma in the peri-operative stage.In this research topic, four exciting studies are focusing on various aspects of biomarkers and multimodal therapies for bone and soft tissue sarcoma, including a machine learning algorithm to predict the metastasis of osteosarcoma (While these studies provide novel insights to the landscape of sarcoma management, further research encompassing genetic alterations, gene expression patterns, and immune signatures is needed to be incorporated into the treatment regimens and the selection of appropriate therapies at the molecular level. Advancements in genomic sequencing, transcriptomics, and proteomics have facilitated the identification of potential biomarkers, paving the way for the development of such personalized treatment approaches. For example, preoperative therapies, including neoadjuvant chemo-radiation and otheWhile progress in sarcoma research fuels optimism, challenges remain on the path toward widespread implementation of these innovations. Combining targeted therapies into the peri-operative setting poses a threat of increasing post-surgery complications . AdditioIn conclusion, recent advancements in the efficacy, safety, and biomarkers of novel therapeutics and treatment regimens have infused the peri-operative management of bone and soft tissue sarcomas. The journey toward personalized medicine, guided by the intricate interplay of oncology practice and translational research, offers new avenues for improved patient outcomes. Continued collaboration among clinicians, researchers, and industry stakeholders is essential to surmount these challenges."}
+{"text": "In May 2022, an unprecedented global outbreak of mpox emerged,Therefore, the Director-General of WHO concurred that the outbreak remained a Public Health Emergency of International Concern. WHO advised Member States to strengthen key areas of readiness and response to stop the outbreak, and to strive towards mpox elimination or control based on specific epidemiological contexts.First, as countries monitor the outbreak and develop elimination and control plans, surveillance must be sustained and strengthened. As the number of reported mpox cases continues to decline globally, all Member States should sustain national surveillance for suspected cases and continue to report confirmed and probable cases and deaths.,Second, integrate mpox surveillance, detection, prevention and care into primary care and sexual health services. Among mpox cases with known human immunodeficiency virus (HIV) status, approximately half are living with HIV, and advanced infection is an important risk factor for severe complications and death related to mpox.Third, enhance global commitment and cooperation to facilitate equitable access to diagnostics, vaccines and therapeutics. The mpox outbreak has again highlighted global inequities as vulnerable populations, ethnic minorities and persons living in low-income countries continue to face barriers to care.Fourth, strengthen and support capacity in resource-constrained settings, including for One Health approaches and for research at the animal-human interface, where zoonotic spillover is known or suspected to occur. Understanding of animal reservoirs and transmission to humans remains limited. Identifying factors that contribute to amplification of outbreaks or extended chains of transmission is also critical. Improving multisectoral collaboration to address socioeconomic and behavioural risk factors will support research to characterize animal-to-human and human-to-human transmission in different contexts.Fifth, implement a strategic and coordinated research agenda to ensure ongoing evidence generation. Strategic areas of focus include: investigating the origins of monkeypox virus; characterizing epidemiology and dynamics of viral transmission including for the global outbreak of clade IIb.B.1, which has never been found in animals;To achieve these goals, WHO will propose a global strategy for mpox elimination and control and approaches to support countries in all regions to develop their own integrated plans. This dual approach will help countries set clear targets for stopping human-to-human transmission; maintain high-quality indicator-based surveillance and event-based monitoring; support broader efforts towards epidemic and pandemic preparedness; and ensure adaptation of public health and communication strategies for specific contexts and groups at risk, particularly where mixed modes of transmission are observed.We have the tools to end this outbreak and ensure elimination of human-to-human transmission and ongoing control of mpox. To do this, the global health community must come together and invest in the key areas highlighted."}
+{"text": "The COVID-19 pandemic has heavily influenced the teaching and practical training required for students enrolled in health sciences courses globally both at undergraduate, graduate and postgraduate levels. This public health threat has impacted not only the formation of physicians, dentists, pharmacists, nurses and midwives but of all healthcare professionals, mainly due to the cancellation of clinical clerkships and the transition of on-site to online education . HoweverEuropean Journal of Investigation in Health, Psychology and Education. Thus, it is beyond doubt that a Special Issue dedicated to the COVID-19 pandemic was warranted in the Health Sciences before, during and after the COVID-19 Pandemic, we explored relevant topics regarding the impact of the SARS-CoV-2 pandemic on education, as well as highlighted the results of research endeavors that thrived during this period of isolation. Following a thorough external peer-review, five papers were accepted for publication in this Special Issue: two original articles, one brief report and two systematic reviews .Herein, in the Special Issue In their cross-sectional study, Rogowska and Meres assessed the crosstalk established between job and life satisfaction and emotional intelligence. Their investigation enrolled over 300 subjects, consisting mainly of primary and secondary school teachers and pinpointed that emotional intelligence predicts both life and job satisfaction. In addition, they demonstrated that job satisfaction predicts life satisfaction, concluding that job satisfaction emerges as a mediator in the crosstalk of emotional intelligence and life satisfaction .Nash evaluated the potential role of doodling in the evaluation of burnout in healthcare researchers who experienced anxiety and/or depression related to their workplace activities. The investigator compared in-person pre-pandemic versus online meetings during the COVID-19 pandemic and pointed out that individuals who partook in these mindfulness activities were more likely to feel relaxed when doodling during in-person meetings, possibly because there was more interaction between participants during physical meetings .Tanoubi et al. explored the benefits of simulation-based education in the training of dental surgeons in procedural sedation and the management of related complications by means of theoretical and practical applications. A total of 16 Canadian dentists with expertise in oral and maxillofacial surgery were trained in anesthesia techniques and crisis resource management using simulation-based clinical scenarios. The authors argue for a need for sedation training for dental surgeons engaging in oromaxillofacial interventions .As the COVID-19 pandemic has mostly impacted the production of original research, researchers worldwide have focused on the production of narrative or systematic reviews, as well as meta-analyses, two of which have been published in this Special Issue.In their systematic review, Tsagkaris et al. investigated the applications of infrared radiation techniques in the management of musculoskeletal conditions: knee osteoarthritis, fibromyalgia, chronic low back pain, chronic myofascial syndrome, sacroiliitis and Gulf War Illness. Based on their findings, infrared radiation has been successfully applied in the therapeutic approach of knee osteoarthritis, fibromyalgia and chronic myofascial syndrome .In addition, Moysidis et al. explored the interplay between polycystic ovary syndrome and atrial fibrillation based on the data derived from electrocardiographic and echocardiographic studies. Their findings reflect that polycystic ovary syndrome is characterized by abnormal atrial conduction, as the meta-analysis point out that there is a prolonged maximum P-wave duration, an increased P-wave dispersion, increased echocardiographic measurements of atrial electromechanical delay, as well as altered electromechanical coupling parameters in the aforementioned endocrine disorder .In conclusion, the present Special Issue provides an overview of several aspects of the impact of the COVID-19 pandemic on health sciences, and also allows for the publication of several high-quality papers."}
+{"text": "In many respects, the continent of Africa is undergoing multiple transitions of which the nutrition transition is the most prominent\u2014from a public health perspective. Popkin et al. define nWhile the papers included in this Research Topic do not cover the current COVID-19 pandemic, the Russia-Ukraine war, and other global crises such as climate change, the impact of these crises on the food environments, food availability, food prices, food affordability, and food security is real , 5. The However, our current understanding of the dynamics of the rapidly transitioning African food environments is limited. While hunger and food insecurity still persist, other forms of malnutrition such as obesity and related NCDs have emerged. Toward addressing malnutrition in all its forms, improving food environments in Africa is an urgent priority. Data-driven approaches, fit-for-local policies and actions and responding to all forms of malnutrition are needed. Fit-for-local purpose data can give insights into which policies may be more effective in combating the multiple forms of malnutrition in Africa. This Research Topic on African Food Environments aimed to solicit practice-impacting and policy-influencing evidence from researchers and practitioners working on the African food environments. It comprises a collection of nine papers from six African countries\u2014eight empiric studies, and a review.Mahopo et al.) and examined the nexus between food security indicators and anthropometric health. The authors identified opportunities for improving the food environments of a rural South African setting through the implementation of government policies that target street vendors. The authors recommended that, government in partnership with non-state actors deliver such interventions as training and microfinance to improve the business skills of street food vendors while promoting food safety and nutritious foods. Harper et al. estimated the prevalence of double burden of malnutrition in select South African households, and showed that about 70.2% of all stunted children lived with an overweight or obese adult.Two studies from South Africa characterized the operations of the street food enterprises . Only about 10% of the School Meal Programs identified overweight/obesity prevention as an objective. As Africa becomes increasingly urbanized, with transitioning dietary practices that favor processed foods, high in salt, high in sugar, high in unhealthy fat foods with limited consumption of fruits and vegetables but from the 2019 Global Survey of School Meal Programs, bles but , policy The original contributions presented in the study are included in the article/supplementary material, further inquiries can be directed to the corresponding author.ALaa: conceptualization and writing of first draft. KB, FZ, GA, and ALar: reviewing and editing of first and final drafts. All authors contributed to the article and approved the submitted version."}
+{"text": "From the first appearance of Red Bull (RB) on the market in 1987 for the developing brain of adolescents and the medical and socio-legal standpoints on this EDs association.Petribu et al. analyzed several studies reporting that the acute or chronic AMED consumption, enhanced the alcohol intake and his motivational value, dose-dependently stimulated locomotion, and deteriorated movements capability. AMED intake time-dependently reduced anxiety, and a wide variety of effects on memory have been reported. The acute administration of AMED did not modify alcohol metabolism, but after its chronic assumption, blood alcohol concentrations were higher or lower than those of the alcohol-only group depending on the paradigm used. A comparable range of effects has been described about metabolic dysfunction. AMED intake produced an increase of pro-inflammatory cytokines, created oxidative stress and lipid peroxidation, but also in this case the results obtained depend on the protocol used. Briefly, AMED produces different outcomes depending on the amount of alcohol and EDs and the age, sex, and line of animals used.Sefen et al. addressed this issue and reported that the stimulatory properties of caffeine reduce the sedative effects of alcohol, making individuals more inclined to consume higher amount of alcohol -as they do not perceive the feeling of drunkness- and promoting risk-taking behavior. The increase of AMED drinking can be explained through activation on adenosine A2A receptors, which reduces alcohol intake , adenosine modulates immature synapses (Jeong et al., final cortical maturation (Serdar et al., Purines are involved in the refinement of several processes during the development of the brain, in particular in its growing architecture (Rodrigues et al., Sefen et al. on the regulation of AMED around the world can help the scientific community and influence public opinion and regulatory agencies to reflect on the need to regulate the sale and the consumption of EDs and AMED. In this regard, we foresee that the articles presented in this Research Topic provide a view of current preclinical and clinical studies in the field and allow new insights into the effects of AMED consumption on human health.Finally, the original report by VB wrote the article. EA, LD, MC, and JS critically revised and approved the final version of the manuscript. All authors contributed to the article and approved the submitted version."}
+{"text": "Acute coronary syndrome (ACS) and venous thromboembolism (VTE) are costly conditions, largely due to the high initial cost of treatment, patient nonadherence to prescribed antiplatelet therapy, avoidable rehospitalization in patients with ACS, and high rate of recurrence and long-term complications in patients with VTE.To discuss the economic impact of ACS and VTE; factors that contribute to preventable morbidity, mortality, and costs associated with these conditions; and strategies that managed care pharmacists can use to improve clinician knowledge of evidence-based treatment guidelines and patient adherence to the treatment plan, thereby improving clinical and economic outcomes.Premature discontinuation of antiplatelet therapy increases the risk of death and rehospitalization in patients with ACS. Factors associated with premature discontinuation include advanced age, lack of education, unmarried status, pre-existing cardiovascular disease, high cost of health care, failure to receive discharge instructions, and lack of referral for cardiac rehabilitation. Managed care plan benefit design should provide for the effective treatment of ACS and VTE by identifying the optimal type and duration of anticoagulant and antiplatelet therapy. In patients with VTE, the use of low-molecular-weight heparin (LMWH) in outpatients is as safe and effective and less costly than standard intravenous unfractionated heparin on an inpatient basis. Long-term LMWH treatment for acute deep vein thrombosis is safe and effective, and it is preferred over warfarin for patients with cancer. Managed care pharmacists can improve the quality of care for patients with ACS and VTE by using a variety of strategies to improve clinician knowledge of evidence-based treatment guidelines and patient adherence to the treatment plan.Efforts by managed care pharmacists to improve the quality of care for patients with ACS and VTE can improve patient outcomes and reduce health care utilization and costs."}
+{"text": "Decades of research and scholarship2\u20134 have shown that race is fundamentally not biological. A substantial body of evidence clarifies that race is a sociopolitical, not biological construct.5 Nevertheless, the harmful, unscientific practices of racial biological essentialism persist, which helps explain why the misuse of race in clinical decision-making, research, and education remains pervasive.The practices of contemporary clinical decision-making and care rely heavily on racial biological essentialism, which is a set of ideas originating in modern science that describes populations as comprising distinct subpopulations with unique sets of essential, heritable characteristics and propensities purportedly due to their biology.6 This work has taken many forms, including the de-implementation of race-based algorithms used as clinical decision-making tools. In 2020, the Ways and Means Committee in the U.S. House of Representatives asked professional societies across medical disciplines to rethink their use of race-based clinical algorithms. The Committee sent a \u201cRequest for Information\u201d (RFI) to medical professional societies endorsing the elimination of race-based clinical algorithms. The study findings and RFI responses were captured in a 2021 report and captured responses from the professional societies as well as recommendations to improve clinical decision-making.7 The Agency for Healthcare Research and Quality (AHRQ) is also taking on this issue. At the time of this publication, AHRQ is undertaking a systematic review to provide Congress and the public responses to key questions on the impact of race-based clinical algorithms on health outcomes, and what can be done to address and/or mitigate racial bias on the development, validation, etc., of clinical algorithms.8For many years, medical trainees, health equity scholars, and public health physicians have explained how race consciousness , which is the understanding of race as a sociopolitical construct, provides a more useful understanding for medicine and public health than racial biological essentialism does.9 The American College of Obstetrics and Gynecology no longer endorses a vaginal birth after caesarean calculator that uses race.10 Most recently, the American Thoracic Society issued updated recommendations in spirometry testing and the race-neutral reference equation for all patients, irrespective of race.11Since 2021, several professional societies have updated their positions on the inclusion of race in clinical algorithms within their respective specialties. The National Kidney Foundation and the American Society of Nephrology officially endorsed an estimated glomerular filtration rate (e-GFR) calculator without a race variable.12 Many social and clinical factors contribute to this stark inequity, including the misuse of race to modify the e-GFR score, which is used in the diagnosis and treatment of chronic kidney disease (CKD). Race and other social factors have been linked to the e-GFR and other statistics, which has been associated with disproportionate suffering due to (CKD) and its sequalae among Black populations .13As research continues to elucidate the harms and any benefits from including race in clinical algorithms, the urgency to address race-based algorithms is only intensifying. For instance, 35% of Americans suffering from renal failure are Black, while only representing 13% of the population.14 To meet the urgency of this moment, the NYC Department of Health and Mental Hygiene launched the Coalition to End Racism in Clinical Algorithms (CERCA). This coalition is a citywide initiative consisting of both safety-net hospitals and academic medical centers representing all five boroughs of NYC. Participation in CERCA requires that each coalition member commit to de-implement at least one race-based algorithm. Members are also required to furnish work, evaluation, and patient engagement plans regarding their de-implementation of race-based algorithms.16Health equity experts agree to the implementation of nonrace-based clinical algorithms that cannot be subjected to the over 10-year timeframe typical for medical research and its adoption into practice.16In the summer of 2023, the NYC Department of Health and Mental Hygiene hosted the first annual New York City Anti-racism in Medical Education Symposium in partnership with the Josiah Macy Jr. Foundation, the American Academy of Medical Colleges, and the Fund for Public Health NYC. This symposium aimed to identify key stakeholders involved in anti-racism and curriculum development at NYC medical schools and understand the depth and breadth of anti-racism praxis incorporated into their educational programming.Health Equity hopes to contribute to this growing body of knowledge regarding the de-implementation efforts needed to holistically address and eradicate race essentialism from practice and education. Specifically, this issue highlights scholarship in the following areas:Historical origins of race adjustment in medicine, clinical decision-making tools, and artificial intelligence tools in medicine;Current activities, successes, and challenges around removal of race from clinical decision-making tools at the institution- and system-level and its impact on patient outcomes;City, state, and federal policies and policy analysis supporting removal of race adjustment from clinical decision-making tools; andPrograms, interventions, and policies intended to interrupt or end algorithmic racial discrimination in medicine and health care.This special issue of We hope this publication captures the latest work in addressing race-based medicine and facilitate the adaptation and implementation of initiatives to correct and mitigate the harmful effects of racial discrimination in health care. As we chart the next steps of this movement\u2014which include equitable transplantation access, federal changes in Medicaid and Medicare policy on use of race-based algorithms, biases in artificial intelligence, application of public health critical race praxis (PHCRP) in research, to name a few emerging areas\u2014remaining abreast of current and needed work will be essential to realizing a more equitable, just, and healthy society.disciplinary self-critique, this special issue documents the continued misuse of race in clinical algorithms. It also offers constructive alternatives that can be implemented immediately.18According to PHCRP, which is a health equity offshoot of Critical Race Theory, the first step toward advancing health equity is to acknowledge how the conventions of our field help reinforce inequities however well-intentioned our efforts may be. The use of arbitrary race corrections in clinical algorithms relies on and reifies racial biological determinism. It undermines the ability of clinicians to uphold their commitment to beneficence, nonmaleficence, and justice in the provision of care. Failure to uphold them harms minoritized patients and communities through, for instance, delayed or missed diagnoses and the exacerbation of racialized stigmata. A substantial body of scholarship and research now exists to promote more equitable clinical decision-making and care. Consistent with the PHCRP principle of"}
+{"text": "Saccharomyces, thanks to careful dissection of metabolic properties regulon after the ancestral whole genome duplication (WGD) in yeasts. This WGD results from an ancestral hybridization between two divergent non-WGD clades mapping in the progeny of crosses between two wine starter strains, one of which had an admixed genome with flor strains, the authors identify genetic factors of adaptive divergence between the flor yeast and the wine yeast and show also that introgressions from flor strains promoted the metabolic variability observed. Finally, the article by Krogerus et al. use synthetic tetraploid hybrids between Saccharomyces cerevisiae and Saccharomyces eubayanus to generate genetic diversity in the F2 progeny through meiotic segregation. They show that some of these derived strains show fermentation capacities similar to commercial lager strains and found that higher ploidy was generally associated with faster fermentation. This study highlights the potential of synthetic hybrid formation, followed by selection on the progeny, to generate new strains of industrial relevance.Due to their unique ability to adapt to new niches, hybrids are common among human-altered environments, including industrial settings. The two remaining articles of this Research Topic focus on Altogether, the six contributions to this Research Topic provide important new insights on diverse aspects related to fungal hybrids and underscore the potential of genomic approaches to study them.All authors listed have made a substantial, direct, and intellectual contribution to the work and approved it for publication.TG acknowledges support from the Spanish Ministry of Science and Innovation for grant PID2021-126067NB-I00, cofounded by European Regional Development Fund (ERDF); from the Catalan Research Agency (AGAUR) SGR423; from the European Union\u2019s Horizon 2020 research and innovation programme (ERC-2016-724173); from the Gordon and Betty Moore Foundation (Grant GBMF9742); from the \u201cLa Caixa\u201d foundation (Grant LCF/PR/HR21/00737), and from the Instituto de Salud Carlos III (IMPACT Grant IMP/00019 and CIBERINFEC CB21/13/00061- ISCIII-SGEFI/ERDF). CTH acknowledges support by the Great Lakes Bioenergy Research Center, U.S. Department of Energy, Office of Science, Office of Biological and Environmental Research under Award Number DE-SC0018409; the National Science Foundation under Grant Nos. DEB-1442148 and DEB-2110403; and the USDA National Institute of Food and Agriculture (Hatch Project 1020204). CTH is an H. I. Romnes Faculty Fellow, supported by the Vice Chancellor for Research and Graduate Education with funding from the Wisconsin Alumni Research Foundation.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest.All claims expressed in this article are solely those of the authors and do not necessarily represent those of their affiliated organizations, or those of the publisher, the editors and the reviewers. Any product that may be evaluated in this article, or claim that may be made by its manufacturer, is not guaranteed or endorsed by the publisher."}
+{"text": "Precision health refers to personalized healthcare that combines genetic and genomic sequence, protein, metabolite, and microbiome information (collectively known as \u201comics\u201d information) with lifestyle, social, economic, cultural, and environmental influences to help individuals achieve optimal health and well-being ,2. The gThe need to provide precision healthcare to hereditary breast and ovarian cancer (HBOC) and Lynch Syndrome (LS) patients and their families has long been recognized and has been supported with efforts at national and international levels ,6,7. TheCancers, titled \u201cPrecision Healthcare and Interventions in Hereditary Breast and Ovarian Cancer and Lynch Syndrome\u201d, four reviews and three original research articles highlight recent trends, updates, and progress in caring for HBOC and LS individuals and families. The papers cover precision healthcare from prevention and early detection, treatment of disease, and psychosocial care of individuals carrying HBOC- and LS-associated variants and their biological relatives.In this Special Issue of BRCA1 and BRCA2 founder pathogenic variants within the Portuguese population. Their conclusions have implications for the development of genetic testing panels, the cost-effectiveness of cascade testing among biological relatives, and the accuracy of risk prediction models that are commonly used in clinical practice to aid medical decision making in prevention, early detection, and cancer surveillance.Vicente and colleagues review evidence supporting the prevalence of Two reviews by Gambini and colleagues and by Cassar and colleagues focus on the molecular mechanisms of carcinogenesis in LS and in ovarian cancer, respectively, and provide insights into opportunities for future therapeutic interventions. Gambini and colleagues present recent guidelines regarding early detection in LS patients. Regarding primary prevention, the authors focus on the comparative advantages of chemoprevention with aspirin, other non-steroidal anti-inflammatory drugs, and progestins over risk-reducing surgery, and highlight concerns over limited or conflicting evidence regarding some of the chemoprevention agents. Cassar and colleagues focus on the role of regulatory T cells in the development of ovarian cancer and review the role of these cells in pathophysiological mechanisms regulating the tumor microenvironment, angiogenesis, metastasis, drug resistance, and tumor immunity. Both reviews by Gambini and colleagues and by Cassar and colleagues emphasize the possibilities of immunotherapies that harness frameshift peptide effector T-cell responses, immunocheckpoint inhibitors, epigenetic drugs, and combinations of immunotherapies with regulatory T-cell-targeting drugs as promising new therapeutic pathways.Bernsetin-Molho and colleagues review recommendations for managing individuals with HBOC, focusing especially on those who have not developed cancer, and for whom primary cancer prevention and early detection are of pivotal importance. The authors reviewed 15 guidelines published by governmental and professional bodies in the US, Europe, and Australia, and other countries around the world. They point out inconsistencies, including conflicting or limited evidence in areas of modifiable risk factors, such as the age of first live birth, the use of oral contraception, and the use of tamoxifen for chemoprevention. For early detection, they point out the lack of consensus regarding the optimal surveillance and risk management of younger (<30 years old) and older (>60 years old) individuals with HBOC-associated pathogenic variants, and the conflicting or limited evidence regarding the value of biomarkers such as CA-125 and screening for pancreatic cancer. Finally, they review evidence regarding effects of in vitro fertilization and pre-implantation genetic testing diagnosis, and suggest that consistent evidence shows that there is no association between in vitro fertilization and the risk of breast and ovarian cancer.BRCA1 or/and BRCA2 variant. Their study included findings of a survey with n = 505 participants and in-depth interviews with a subsample of n = 40 participants. The study focused on childbearing practices before and after knowing one\u2019s BRCA status and on decision-making processes and self-conceptualization. The study found that most women of reproductive age who already had children opted not to have more children, while younger women who did not have children were likely to have children after risk-reducing surgery. Regardless of their childbearing practices, many participants felt significantly vulnerable and stigmatized, especially if they had already developed cancer. The sense of vulnerability did not diminish over time because the focus shifted from oneself to one\u2019s family. The study sheds light on a relatively unexplored topic and identifies unmet needs of these women for ongoing care and support.Hesse-Biber and colleagues focused on the psychosocial management of women with HBOC and conducted a mixed-methods study with women carrying a pathogenic n = 1933 participants from n = 518 family units harboring HBOC-associated variants. The study found that, although genetic literacy was higher among participants who had counselling, some risk factors were poorly understood, especially among those that had genetic counseling more than 5 years ago, had fewer years of formal education, and did not have a pronounced family history of cancer. Sarki and colleagues provided strong evidence for the potential impact of cascade testing as a precision public health intervention, as their study found that, from 304 individuals with HBOC- or LS-associated variants and 115 of their relatives, on average 10 biological relatives per participant were potentially eligible for cascade genetic testing. However, only two out of three individuals with a pathogenic variant wanted to invite their relatives to the cohort, and about 50% indicated a preference for family-mediated communication of testing results, possibly with the assistance of digital technology. Both studies emphasize the importance of the family environment as a means to facilitate better management of HBOC and LS and the implementation of cascade testing as a precision public health intervention.Finally, the studies of Pedrazzani and colleagues and Sarki and colleagues focus on family-mediated communication of genetic testing results and the impact on cascade testing of biological relatives. Pedrazzani and colleagues examined genetic literacy and the flow of information from carriers of pathogenic variants who had genetic counseling to their biological relatives who did not have counseling. The study combined data from three studies conducted in the U.S. and in Switzerland over 10 years with a pooled sample of In conclusion, technological advances and the growing application of precision healthcare and precision public health interventions have increased our knowledge of HBOC and LS and offer pathways for novel and personalized therapeutic opportunities. Personalized therapeutic opportunities will be most advantageous for individuals diagnosed with cancers associated with high morbidity and mortality, such as ovarian, pancreatic, and bile duct cancers. However, the translation of this knowledge into concrete and consistent prevention and early detection guidelines is lagging behind, due, to limited evidence from large epidemiological studies with comprehensive assessments of genetic and genomic, socioeconomic, cultural, and health behavioral data. There is even less evidence regarding the translation of this knowledge into the equitable psychosocial care of these individuals and families. This Special Issue helped identify areas where more evidence, from high-quality studies, is needed."}
+{"text": "Affective science is a broad and burgeoning field, and the National Institutes of Health (NIH) support research on a similarly broad range of topics. Across NIH, funding is available for basic, translational, and intervention research, including research in non-human animals, healthy populations, and those with or at risk for disease. Multiple NIH Institutes and Centers have specific programs devoted to topics within the affective science umbrella. Here, we introduce the funding priorities of these six: the National Cancer Institute (NCI), National Center for Complementary and Integrative Health (NCCIH), National Institute of Mental Health (NIMH), National Institute on Aging (NIA), National Institute on Drug Abuse (NIDA), and National Institute on Minority Health and Health Disparities (NIMHD). We then discuss overlapping themes and offer a perspective on promising research directions. The experience, expression, and regulation of emotions influence many facets of health and well-being. Affective states and affective regulation can mediate and moderate behavioral and physiological processes, thereby impacting health outcomes. Social disconnection and loneliness increase the odds of all-cause mortality by more than 25% and have been labeled an epidemic by the United States Surgeon General . NCCIH seeks to fund research incorporating transdisciplinary approaches in the basic social, behavioral, psychological, and biological sciences to understand the factors that influence EWB, as well as clinical research on the use of mind\u2013body interventions to enhance EWB and whole person health. NCCIH\u2019s EWB High-Priority Networks include efforts to (1) explore the relationship between economic burden of illness and EWB; (2) study the modifiable elements of EWB across biological, behavioral, and experiential levels; and (3) deepen our understanding of how best to measure EWB and mechanisms through which mind\u2013body interventions promote and maintain EWB. The EWB Networks recently published a provisional conceptualization of EWB, accompanied by commentaries from various well-being research stakeholders, including NIH health services for youth and have the capacity to reach large and, importantly, diverse populations of children at different developmental time periods. NCCIH supports projects to test the efficacy or effectiveness of mind\u2013body interventions that can be delivered in a school-based setting or with students to promote MEB health and prevent MEB disorders among youth.NIMH\u2019s mission is to transform the understanding and treatment of mental illnesses, and research on the mechanisms underlying mood, affect, and their disruptions in mental illnesses is an integral part of NIMH\u2019s basic and translational research portfolios. Basic neuroscience priorities include investigations of neurobiological mechanisms underlying affect, resilience, and vulnerability to stress in humans and animals. NIMH supports research on mood and anxiety disorders in humans, including diagnostic and transdiagnostic studies of the developmental trajectories, etiology, progression, risk factors, assessment, treatment, and prevention of mental illness associated with dysregulated mood and affect. A transdiagnostic framework within NIMH\u2019s Research Domain Criteria (RDoC) initiative supports studies in affect-relevant domains of functioning, including arousal and regulatory systems, negative valence (threat and loss), positive valence (reward), and social processes. NIMH also aims to enhance support of research on affective processes and disorders that engages underrepresented study populations to understand mechanisms that contribute to mental health disparities.Examples of affective science research areas of interest to NIMH include (1) understanding how distributed brain circuits dynamically represent multi-dimensional social-emotional information. (2) Understanding the neurobiological mechanisms underlying stress mediated changes in social-affective and cognitive processes research.normative developmental trajectories of aging. Topics of particular interest include (1) impacts of early-life adversity on later life outcomes; (2) individual- and context-based variations in affective processing in mid- and late-life; (3) neural mechanisms underlying emotional changes with age; (4) social isolation and loneliness; and (5) impacts of optimism, purpose in life, compassion, and generativity on health and well-being across the lifecourse. In the context of AD/ADRD, NIA seeks to identify predictive psychological, behavioral, and biological markers for changes in emotional expression and regulation that may presage cognitive decline. We also support the development of strategies to detect, prevent, and treat affective and behavioral dysregulation in people living with dementia, including effects on caregiver health and well-being.NIA seeks to elucidate the core biopsychosocial processes underlying changes in affective functions, the interactions between affective and cognitive processes, and the complex profiles of emotional adaptation and compensation across NIA encourages basic and translational affective science research in humans and/or appropriate animal models. NIA strongly encourages the application of psychometrically sound behavioral assessment approaches, and use of digital technology to measure affective, motivational, and social responses across time in \u201creal-world\u201d contexts. NIA provides expansive support for longitudinal studies and cross-cohort comparisons. All NIA research is expected to make use of the NIA Health Disparities Research Framework . NIDA\u2019s interest in supporting research on affective neuroscience relates particularly to factors that influence risk for and protection from development of SUD, as well as relapse and recovery. Priorities include 1) expanding from studies of specific circuits or unidimensional constructs to the full constellation of affective and behavioral dysfunction observed in SUD; (2) multi-level and multidimensional approaches to conceptualizing SUD \u2014 considering individual , social that cannot be fully modeled in non-humans and challenges with aligning human neurobehavioral development with that of model species, we encourage investigators to consider modeling analogous social factors , and considering homologies (and limits thereof) across humans and model species with respect to the neuroaffective system of interest.Given the complexities surrounding SUD, we encourage longitudinal research designs, the use of large datasets Table , and NIDThe mission of the National Institute on Minority Health and Health Disparities (NIMHD) is to improve minority health and reduce health disparities through research including integrative biological and behavioral science, as well as community health, population sciences, clinical and health services research, and research on health systems and workforce development. Critically, research supported by NIMHD must include a focus on one or more of the following NIH-designated populations that experience health disparities in the United States: African Americans, Latinos/Hispanics, American Indians and Alaska Natives, Asian Americans, Native Hawaiians and other Pacific Islanders, less privileged socioeconomic groups, underserved rural populations, and sexual and gender minorities.The NIMHD Research Framework developmental sensitive periods, and on systemic capacities for change. For this reason, NIH institutes prioritize studies incorporating developmental trajectories and recommend the use of longitudinal designs and datasets. We also note that temporal scales vary enormously: molecular events unfold in nanoseconds; an individual\u2019s developmental trajectory can take days, months, or years; affective and social experiences can influence health trans-generationally. NIH institutes recognize the challenges associated with incorporating the temporal dimension, and we encourage investigators in the affective sciences to embrace these challenges.All the NIH Institutes in this commentary support basic, translational, intervention, and clinical affective science research. NIH recognizes that affect is embedded with many aspects of life and health, and an NIH-wide goal is to better understand the roles and mechanisms by which emotional experiences impact health and well-being. We especially encourage multi-level investigations of stress, emotion regulation and buffering, resilience, reward systems, positive emotions and emotional well-being, and social and interpersonal factors and their impact during development and across the lifespan."}
+{"text": "Chemical vapor deposition synthesis of graphene on polycrystalline copper substrates from methane is a promising technique for industrial production and application. However, the quality of grown graphene can be improved by using single-crystal copper (111). In this paper, we propose to synthesize graphene on epitaxial single-crystal Cu film deposited and recrystallized on a basal-plane sapphire substrate. The effect of film thickness, temperature, and time of annealing on the size of copper grains and their orientation is demonstrated. Under optimized conditions, the copper grains with the (111) orientation and a record size of several millimeters are obtained, and the single-crystal graphene is grown over their entire area. The high quality of synthesized graphene has been confirmed by Raman spectroscopy, scanning electron microscopy, and the sheet resistance measurements by the four point probe method. To obtain single-layer graphene of a large area and high quality by chemical vapor deposition (CVD), in addition to the synthesis process itself, the surface on which the nucleation of the carbon film begins is important. One of the most efficient ways to grow an ideal graphene monolayer is to use a smooth single-crystal bulk copper ,2,3. How2 and Ar gas atmosphere direction, which is optimal for graphene synthesis, during the usual stage of substrate annealing in a hydrogen atmosphere to remove natural oxide from its surface before graphene growth. In this case, high-quality single-crystal graphene is synthesized over the entire surface of recrystallized copper film. The quality of graphene has been approved by Raman spectroscopy, scanning electron microscopy, and the sheet resistance measurements using the four point probe method. The obtained result demonstrates the high potential of graphene CVD synthesis on thin copper films for industrial production and application. Of particular interest, in our opinion, is the possibility of using such a sandwich (sapphire/copper film/graphene) for the BB-LIFT of graphene patterns on an arbitrary substrate."}
+{"text": "The ocean is a vast carbon sink and mediates global carbon cycling, essential for mitigating climate change. The deep-sea pelagic and sub-seafloor environments represent the largest microbial habitats on Earth and are key sites for organic matter remineralization and storage in the biosphere. Moreover, diverse unique and extreme habitats, e.g., seamounts, trenches, cold seeps, and hydrothermal vents exist in the deep sea, developing special and active microbial communities and metabolic processes that significantly impact global carbon cycling. It is therefore important to understand the diversity, activity and metabolism of deep-sea microorganisms, particularly their mechanisms for utilization and transformation of organic matter, and the environmental factors affecting these processes. The main aim of this Research Topic is to collect recent work focusing on the diversity and metabolic activities of microorganisms in different deep-sea habitats, in order to understand the microorganisms that drive carbon cycling in the deep ocean.Bradley et al. investigated patterns in the distribution of microbial cells, organic carbon, and the amounts of power used by microorganisms in global sediments. They found that trends in cell abundance, particulate organic carbon storage and degradation, and microbial power utilization are mainly structured by depositional settings and redox conditions, rather than sediment depth and age. Sediments deposited on continental shelves and margins are predominantly anoxic and contain active microbial cells that decline in power utilization in deeper and older settings. Conversely, microorganisms in abyssal sediments use consistently low amounts of power across large gradients in sediment depth and age. Overall, the study demonstrated broad global-scale connections between depositional settings and activity of deep biosphere microorganisms.Marine sediments harbor diverse physicochemical properties that regulate the assemblages of microorganisms. However, it is unclear how variations in sediment physicochemical properties impact microorganisms on a global scale. Zhang et al. compared the composition and functions of the microbial communities in sediments from deep-sea seamounts, trenches and cold seeps in the Pacific Ocean, via amplicon sequencing and metagenomic analysis. They demonstrated that the microbes in deep-sea sediments were diverse and were functionally different from each other in the seamount, trench, and cold seep ecosystems. These results help improve the understanding of the composition, diversity and function of microbial communities in deep-sea environments.Webster et al. characterized the microbial diversity, geochemistry and methanogenic activities of prokaryotic communities in seven Gulf of C\u00e1diz mud volcanoes. They concluded marked differences between the microbial biogeochemistry of mud volcano sediments and deep-sea control sediments. They found that methanogenic activities from methyl compounds, especially methylamine, within the top two meters of sediment were much higher than with the substrates H2/CO2 or acetate. The potential archaea responsible for the methanogenic metabolisms were explored and sediment enrichments were dominated by Methanococcoides methanogens.Deep-sea seeps are extreme environments with high hydrostatic pressure, yet the seep systems have a great impact on global carbon cycling through discharge of methane and petroleum hydrocarbons. Lyu et al. investigated the potential and activities of deep-sea microorganisms for alkane degradation in the sediments of cold seep areas. They enriched five oil-degrading consortia from sediments collected from the Haima cold seep areas of the South China Sea, and further isolated seven efficient alkane-degrading bacteria belonging to Acinetobacter, Alcanivorax, Kangiella, Limimaricola, Marinobacter, Flavobacterium, and Paracoccus. The degradation rates of these bacteria were the highest in alkanes with medium chains. This study provides insights into the community structures, and oil-degrading activity of the bacterial inhabitants in the Haima cold seep areas, South China Sea, and offers bacterial resources for cultivation of candidates with oil bioremediation application potential.RL wrote the draft. YW and GW revised and provided essential comments on the article. All authors have proofread and approved it for publication."}
+{"text": "Long-term production practice proves that good liquor comes out of the old cellar, and the aged pit mud is very important to the quality of Luzhou-flavor liquor. X-ray diffraction, Fourier transform ion cyclotron resonance mass spectrometry, and infrared spectroscopy were used to investigate the composition characteristics of iron-bearing minerals and dissolved organic matter (DOM) in 2-year, 40-year, and 100-year pit mud and yellow soil of Luzhou Laojiao distillery. The results showed that the contents of total iron and crystalline iron minerals decreased significantly, while the ratio of Fe(II)/Fe(III) and the content of amorphous iron (hydr)oxides increased significantly with increasing cellar age. DOM richness, unsaturation, and aromaticity, as well as lignin/phenolics, polyphenols, and polycyclic aromatics ratios, were enhanced in pit mud. The results of the principal component analysis indicate that changes in the morphology and content of iron-bearing minerals in pit mud were significantly correlated with the changes in DOM molecular components, which is mainly attributed to the different affinities of amorphous iron (hydr)oxides and crystalline iron minerals for the DOM components. The study is important for understanding the evolution pattern of iron-bearing minerals and DOM and their interactions during the aging of pit mud and provides a new way to further understand the influence of aged pit mud on Luzhou-flavor liquor production. Chinese liquor is one of the oldest distilled spirits in the world, of which strong-flavor baijiu (SFB), also known as Luzhou-flavor liquor, is the best-selling in China, accounting for over 70% of total consumption in the Chinese baijiu market ,2. SFB pclostridium . T. T26]. TDOM compounds can also be further divided into different molecular types based on their element composition B 26]. T. T26]. TDOM is widespread in terrestrial ecosystems and plays a critical role in the evolution of soil biogeochemical processes and structure . The larPCA was used to evaluate the correlation between iron (hydr)oxides and DOM compounds . The difo has a larger specific surface area and more binding sites compared to Fec, resulting in a stronger adsorption capacity to preferentially bind to CDPA, VPDP, and HULP [c and positively correlated with Feo are more susceptible to bonding with iron (hydr)oxides to form Fe-OM complexes ,43. In aand HULP ,45. Thuswith Feo . In addio to Fec . Thus, t pit mud .Correlation analysis of NOSC values, O/C ratios, and Fe(II)/Fe(III) can also further explain the relationship between DOM and iron (hydr)oxides. The NOSC value and O/C ratios can represent the oxidation state of DOM molecules . The conc and CHONP molecules oxides are more dominant in aged pit mud. The richness, unsaturation, and aromaticity of DOM increased significantly during the aging of pit mud. DOM from aged pit mud contained more lignin/phenolics, polyphenols, and polycyclic aromatics. Furthermore, there is a significant correlation between the changes in the morphology and content of iron-bearing minerals in pit mud and the chemical characterization of the DOM molecules. Therefore, the use of microbial fermentation and other biotechnological methods to reduce the iron content of local yellow soil may help to promote the aging of new pit mud.In summary, the contents of total iron and crystalline iron minerals decreased significantly with the increase in cellar age, and the ratio of Fe(II)/Fe(III) and the content of amorphous iron (hydr)oxides increased significantly. In connection with this, the richness, unsaturation, and aromaticity of DOM and the ratio of lignin/phenolics, polyphenols, and polycyclic aromatics in pit mud were increased. The research showed that molecular diversity and chemical properties of DOM compounds were closely correlated with the content and morphological changes of iron (hydr)oxides during the aging process of pit mud, and the interaction between DOM and iron (hydr)oxides changes the inorganic and organic components in pit mud, which further changes the physicochemical properties of pit mud and affects the aging of pit mud. The changes in the content and composition of iron-bearing minerals and DOM are important potential factors affecting the aging of pit mud, which not only provides a new idea to improve the aging of pit mud by using biotechnology but also helps to understand the process and mechanism of aging of pit mud from the perspective of mineral and DOM composition."}
+{"text": "Sustainable Stress Management: Aquatic plants vs. Terrestrial plants (IGW-SSMAT) which was jointly organized at the Friedrich Schiller University of Jena, Germany from 25 to 27 July 2022 by Prof. Dr. Ralf Oelm\u00fcller, Friedrich Schiller University of Jena, Germany as the German coordinator and Dr. K. Sowjanya Sree, Central University of Kerala, India as the Indian Coordinator. The workshop constituted researchers working in this field from both India and Germany and brought together these experts in the field of sustainable stress management for scientific discussions, brainstorming and networking.The Indo-German Science and Technology Centre (IGSTC) funded an Indo-German Workshop on Climate change and the rapid growth of the human population are major global challenges. Evolving sustainable strategies to counter their effects will be the tasks for the future. We need to produce more food, which includes higher crop yields per area, with plants that are better adapted to the upcoming threats, while nature and climate need to be protected simultaneously . Besides crop production for food and feed, the growing human population and modern technology require plant biomass also for energy production, in the chemical and pharmaceutical industries, in housing and in the textile industry. Further to the promotion of our knowledge on resistance mechanisms in utilized crop species, higher crop yields and biomass production require novel approaches such as the use of new non-conventional crop species and the exploration of new agriculturally suitable areas. Finally, the scientific achievements obtained with conventional crop plants must be tested and eventually transferred to newly introduced crop species, if possible, or new strategies need to be developed for new crop species and new agricultural systems.Sustainable Stress Management: Aquatic plants vs. Terrestrial plants (IGW-SSMAT) was organized at the Friedrich Schiller University of Jena, Germany from 25 to 27 July 2022. This workshop was funded by the Indo-German Science and Technology Centre (IGSTC) with Prof. Dr. Ralf Oelm\u00fcller, Friedrich Schiller University of Jena, Germany, as the German coordinator and Chair of the workshop and Dr. K. Sowjanya Sree, Central University of Kerala, India, as the Indian Coordinator and Co-chair of the workshop. The scientific organization of the workshop was supported by Dr. Klaus J. Appenroth, Friedrich Schiller University of Jena, Germany. Interestingly, the workshop was held in a seminar room of the Department of Indo-German Studies, University of Jena, Germany, which was an apt location for the exchange of scientific ideas between the researchers of the two countries , whereas strategies that allow the faster propagation of the plant population under different environmental conditions might be more important for aquatic plants.Wolffia arrhiza and Wolffia globosa) for human nutrition under the law of novel food cyt changes and phytohormones like jasmonates. Moreover, volatile-mediated plant\u2013plant communication play an important role in the biotic stress response improved the productivity of tomato crops both qualitatively and quantitatively. Prime-Verdant-applied plants performed well also under stress conditions . Furthermore, vegetable crop plants can become heavily infected by different plant viruses which results in damage to the crops. It is difficult to mitigate RNA and DNA viral diseases in vegetable crops. Piriformospora indica-colonized tomato plants developed increased resistance to Tomato yellow leaf curl virus, and the colonization of fruit plants like banana and papaya with P. indica effectively reduced the disease symptoms induced by RNA viruses like Banana bract mosaic virus and Papaya ring spot virus, respectively. Additionally, vegetable crops in association with P. indica developed more resistance against RNA virus , and DNA virus (Tomato leaf curl virus and Bhindi yellow vein mosaic virus) infections. Thus, P. indica colonization protects plants also against viral diseases . To understand the molecular basis of this P. indica-induced resistance, colonized and uncolonized crops after viral infections should be analysed with the molecular and biochemical tools available in the consortium.Autotrophs are constantly challenged by abiotic as well as biotic stressors. Insect pests of plants are one of the major biotic stressors. Plants have evolved several strategies to protect themselves from insect infestation. However, the signal transduction pathways induced early on that connect the process of wounding as a result of insect herbivory to the plant defence responses are yet to be well comprehended. Perceived by specific chemicals (herbivore-associated molecular patterns or damage-associated molecular patterns), plants respond with local and systemic signalling processes including [CaGermany; ,25). PlaLemna root re-growth test -tolerance capacity. The application of such management approaches is important, especially in the scenario where the ability of these plants to produce high amounts of biomass at a fast pace and the increasing practical applicability of this biomass in a circular economy are transforming duckweeds into a sustainable cropping system. The anatomical and molecular basis for the fast growth rate of these tiny aquatic plants was also revealed , i.e., by increasing salinity, a lack of nutrients or their exposure to heavy metals . EvidentGermany; ). The ma, India; ,28,29). , India; ). Flower, India; ). In angGermany; ). In a sGermany; . This unKnowledge flow between the researchers from both India and Germany on sustainable stress management in terrestrial and aquatic plants has helped to widen the understanding of the mechanism of stress management in general and also allowed inputs and learning into each field in order to work towards developing sustainable aquatic and terrestrial cropping systems that can deal with stress in a more efficient manner. The development of well-organized sustainable agriculture systems, which will enable us to create innovative technologies that can be integrated into circular economy, is the future. Our efforts to understand the stress-management strategies in both terrestrial plants and aquatic plants facilitated a holistic understanding of the requirements and strategies for building sustainable cropping systems."}
+{"text": "In the past few decades, the rapid development and decreasing costs of sequencing technologies dramatically changed the landscape of epidemiological studies and surveillance of infectious diseases. Subsequently, pathogen genomic studies have become the forefront tool for investigating emerging infectious disease epidemics and supporting decision-making processes related to the mobilization of intervention resources. Since the introduction of next-generation sequencing (NGS), which expanded the capacity for whole genome sequencing (WGS), and the revolutionary growth of computational resources, viral or bacterial complete genomes can now be sequenced and characterized within a few days or even hours. Therefore, high-throughput sequencing technologies resulted in the exponential growth of genomic databases, unveiling novel insights into the biology, pathophysiology, and molecular epidemiology of infectious disease pathogens. Such significant developments in genome sequence technologies also resulted in important advances in the field of phylogenetic analysis. Modern analytical methods in phylogenetics improved the tracking and understanding of pathogen transmission and evolution of human and animal diseases. Thus, phylogenetic analysis of big genomic databases can be used to clarify key questions related to infectious disease epidemiology, such as the initial detection and characterization of outbreaks, accurate tracing of transmission chains between hosts, and dispersal among and within geographical regions. The threat of emerging and re-emerging infectious diseases continues to be a challenge to global public and animal health, in which sequencing is not just a critical tool in surveillance but also has a major role in a pandemic or outbreak response. The main objective of this Research Topic is to explore the current status and future perspectives of sequencing technologies in the control and prevention of infectious diseases, including the elucidation of diagnosis, molecular evolution, and epidemiology of infectious disease pathogens.Kariithi et al., Kim H.-J. et al., and Abbas et al. demonstrated multiple approaches in utilizing sequencing and phylogenetic analysis resources for improving genomic surveillance of avian infectious bronchitis virus in poultry by characterization of phylogenetic relationships, detection of critical recombination events, assessing vaccination effectiveness, and identifying evolutionary origins of endemic and emerging strains. Furthermore, Kim S.-W. et al. were able to confirm that avian reoviruses circulating in poultry flocks were originating from wild birds using straightforward traditional molecular characterization tools, similar to what Goraichuk et al., did with the Newcastle disease virus. However, Baek et al. went a step further by implementing Bayesian phylodynamic analysis to shed deeper insights into the evolutionary epidemiology of H5N8 avian influenza viruses. They demonstrated that wild birds were the ancestral host for multiple introductions of H5N8 viruses into poultry, but domesticated ducks more important in virus circulation and transmission among poultry flocks.NGS has become a primary diagnostic and characterization tool for genomic surveillance of pathogens that threaten biosecurity and food safety. Hyeon, Tseren-Ochir, et al., Gallardo et al., and Kim G. et al. Furthermore, the combination of WGS and phylodynamic analytical approaches was used by Pamornchainavakul et al. to unveil novel findings on how the rapid recombination events among porcine reproductive and respiratory syndrome virus 2 strains can accelerate their genetic mutations leading to the emergence of more virulent strains. Similarly, Wei et al. were able to identify evolutionary characteristics and geographical origins of the lumpy skin disease virus in cattle, using multiple gene segments of a strain isolated from an outbreak in China in 2009. Rossi et al. extended their genomic analytical pipeline by integrating ecological niche models to quantify the role of environmental and demographic risk factors in shaping the evolutionary epidemiology of Mycobacterium bovis in Cameroon, which is considered a novel and critical step in improving genomic surveillance of infectious diseases.African swine fever continues to be the most important devastating pathogen to swine populations, causing unprecedented annual economic loss on a global scale. NGS and WGS also continue to be the most essential tools for providing critical genetic, epidemiologic, therapeutic, and vaccine development resources for African swine fever intervention efforts, as illustrated by Chung et al. and Hyeon, Helal, et al. used NGS and WGS approaches to deeply characterize the genetic features of West Nile virus and lyssaviruses from wild animals in selected regions in the United States in order to shed important insights about their origins and transmission dynamics. Additionally, it is important to include genomic surveillance of pathogens in exotic pet animals, such as reptiles, to monitor evolutionary characteristics that may result in the emergence of novel pathogens, as demonstrated by Varga-Kugler et al..Genomic surveillance of infectious diseases in wildlife is the foundational pillar of implementing the One Health concept globally. Indeed, the rapid emergence and spread of West Nile and Rabies viruses from wild animal origins played an important role in building the foundation of the One Health concept, which necessitates integrating disease surveillance of humans, wildlife, and domestic animals. In this Research Topic, Lorente-Leal et al. revised the performance and agreement of four commonly used pipelines for WGS data analysis of M. bovis, the causative agent of bovine tuberculosis, Butt et al. highlighted the feasibility and utility of long-read random sequencing approaches to identify pathogens in clinical samples, and Cho et al. developed a novel tiling amplicon PCR method for feasible and rapid sequencing of complete genomes in clinical samples.Continuous development and revision of NGS and WGS pipelines are critical for ensuring the sustainable generation and accumulation of sound and reliable genetic data. In this Research Topic, Our Research Topic reinforces the importance of sequencing technologies in changing the landscape of infectious disease surveillance in animals and humans, with the aim of highlighting NGS and WGS approaches that continue to become more feasible and accessible globally. This Research Topic highlights the versatility of techniques for bench science and sequence analysis in its application to many problems in infectious diseases of veterinary importance. In this Research Topic alone, investigations on 13 infectious diseases of poultry, swine, bovine, and wildlife were presented. Furthermore, the authors of these investigations span 23 countries and five continents, highlighting the accessibility of NGS techniques and its continued lowering of costs. In this Research Topic, we aspire to further motivate physicians, veterinarians, epidemiologists, microbiologists, diagnosticians, and other scientists from related fields to make sequencing technologies the gold standard for the diagnosis and surveillance of infectious disease pathogens in order to improve their current and future intervention efforts.All authors were involved in the writing of this editorial and editing contributions to this Research Topic."}
+{"text": "The South African Noise Induced Hearing Loss (NIHL) Regulations, mandates employers to conduct a noise risk assessment, which records specific variables for determining the status of exposure and the need for implementation of control measures.The study evaluated company noise risk assessment practices for alignment with legal requirements and specific risk assessment guidelines.Convenience sampling was used to select the four manufacturing and utilities companies that participated in the study. The participating companies submitted latest noise risk assessment records for evaluation through the READ approach.The noise risk assessment records of three of the four companies omitted the recording of factors such as the reasonable deterioration in or failure of control measures, adequate control and formalisation of hearing conservation programmes (HCPs). When evaluated against the South African National Standard 31000 Risk Assessment guidelines, the risk assessment processes of the respective companies were lacking in addressing aspects related to establishing communication and consultation, evaluation, adapting, continually improving, leadership and commitment, and integration.The recorded information on the noise risk assessment reports from the four participating companies were incomplete, negatively affecting subsequent HCP management processes and decision-making. Future studies should investigate other aspects such as the implementation status of recommended noise controls as well as their effectiveness as recorded in the noise risk assessment records.This study provided firsthand insights of company noise risk assessment practices, specifically identifying functional and technical areas requiring improvement to enhance current efforts directed towards the minimisation of NIHL within HCPs. The study highlighted that the current practices on recording noise risk assessment information remain incomplete, adversely diminishing the impact of the assessment as an important decision-making tool. The identified technical issues specifically, when addressed, will increase trust on the decisions derived from noise risk assessments. Occupational health programmes, including hearing conservation programmes (HCPs), offer employers a risk management tool for managing and minimising the impacts of exposure Khattab, and are A risk assessment is vital within the overall risk management process and includes aspects such as communication and consultation, context establishment, risk analysis, risk evaluation, risk treatment, monitoring and review 31000.The participating companies were conveniently selected, informed by a risk-based criteria of confirmed historic NIHL incidence, determined through the evaluation of sustainability reports. The final selected companies were identified and selected using a longitudinal study of 20 manufacturing and utilities companies, the method of which has been previously reported by Rikhotso et al. ; 2022a. The submitted noise risk assessment records were evaluated based on a criteria derived from the NIHL Regulations approach Faculty Committee on Research Ethics-Science: FCRE 2020/10/015 (FCPS 02) (SCI). The primary investigator (O.R.) signed disclosure agreements with the participating companies, as applicable.The confirmation and availability of the noise risk assessment records from the four companies were in response to employer obligations for securing legal compliance and to satisfy internal voluntary requirements. The reporting format of the submitted records diverged between full Microsoft Word, PDF, Microsoft Excel spreadsheets and checklists. The type and format of the noise risk assessment record affects the thoroughness and quality of information contained in such documents.Employers from Companies A, B and C delegated the duty of conducting noise risk assessments to occupational hygiene professionals who had varying Southern African Institute for Occupational Hygiene (SAIOH) certification levels ranging from occupational hygiene assistants, occupational hygiene technologist to occupational hygienists . These oThe NIHL Regulations prescribe that the assessment be conducted with involvement and participation of various stakeholders. Stakeholders with recorded involvement and participation in the respective company assessments includedn = 2, 18%) facilities recorded the noise sources. None of the companies recorded the reasonable deterioration in or failure of control measures. Furthermore, only two of 11 at Company A, two of six at Company C, and none for Companies B and C recorded the factors for determining the adequate control of exposure status. At Company D, none of the noise risk assessment variables outlined by the NIHL Regulations were recorded, a limitation of the use of a checklist as a risk assessment tool.The recorded information in the noise risk assessment records varied between the respective participating companies for Company A, whereas none was recorded for Companies C and D. Noise zone demarcation, an administrative control, was recorded in 6 of 11 and 2 of 6 at Company A and Company B, respectively. Furthermore, only 3 of 11 facilities at Company A recorded historic noise reduction efforts undertaken by the respective facilities, whereas none of Companies B, C and D recorded the same information, as applicable. None of Company D noise risk assessment records recorded the variables specified in SANS 10083 code of practice.In addition to the NIHL Regulations-prescribed variables to be recorded in noise risk assessments, the SANS 10083 code of practice also recommends the recording of additional information in the assessment. The recording of the HCP implementation status was 3 of 11 (The noise risk assessment frameworks of all participating companies did not demonstrate tangible evidence of conformance to the SANS 31000 clauses regarding leadership and commitment, integration, establishing communication and consultation, evaluation, adaptation and continual improvement, in general. This is expected against a national gap without a prescribed and adopted standard for conducting risk assessments by regulated industry.Once completed, the risk assessment should be reviewed, and the effectiveness of implemented control measures be continuously monitored. Companies A, B and C omitted At the time of writing, there remained limited publicly available scientific literature on the subject matter and studies of a similar study design to enable result comparisons.The reviewed records attest that participating companies were conducting noise risk assessments for regulatory compliance purposes HSE, , and forRisk assessors are expected to have thorough understanding and in-depth technical knowledge of a process being assessed to achieve meaningful results (Center for Chemical Process Safety, The multidisciplinary team required for conducting a noise risk assessment should cThe noise risk assessment determines and records sources of hazards, exposure levels where available, routes of exposure, exposure duration and frequency, and identification of the most exposed job categories (South Africa, Fragmentation in the risk assessment process, which can be avoided by adopting guidelines such as the SANS 31000, has implications that impact the decision-making process of deciding on implementing required control measures. The risk assessment processes of the participating companies in this study were misaligned with certain selected clauses of SANS 31000 (South African National Standard, Following the completion of the entire risk assessment process, practical steps to manage identified health risks should be taken, followed by an evaluation to assess the effectiveness of the effected measures, instruction and training HSE, , a practNoise risk assessments were a confirmed practice at the participating companies and were conducted by employer-delegated professionals inclusive of occupational hygienists, occupational health nurse or practitioner as well as a risk officer. Stakeholder involvement and participation during noise risk assessments was recorded extensively at Companies B and C, an indicator of internal communication and consultation in the risk management processes. Legally, health and safety representative and health and safety committee involvement and participation in noise risk assessment is an enforceable legal requirement which was absent in some facilities. Factors such as mention of any reasonable deterioration in or failure of control measures, adequate control and formalisation of HCP, recorded as part of risk assessment variables in the records were generally omitted in the noise risk assessments, adjudging the process as incomplete. The recording of information relating to these factors affects the risk analysis phase. The enrolled risk assessment records were also adjudged as being improperly aligned, in general, to the risk assessment guidelines specified in the SANS 31000 relating to elements such as establishing communication and consultation, evaluation, adapting, continually improving, leadership and commitment, and integration. Additionally, the review and monitoring of the assessed noise risk assessment aspects remained non-existent across all participating companies. Conclusively, the noise risk assessment processes at the four participating companies had technical shortcomings, which influences subsequent HCP management process. In general, an improvement in the noise risk assessment processes among the participating companies is recommended, in order to minimise the pervasive NIHL.Future studies should investigate the implementation stages and status of recommended noise controls and their effectiveness as outlined in noise risk assessment records. Furthermore, future studies should also investigate the roles of both the health and safety representatives, and health and safety committees in following up on recommended or proposed corrective actions for noise control."}
+{"text": "With climate change becoming a global concern, a low-carbon economy has become an inevitable trend. Carbon neutrality is considered an important step in curbing global greenhouse gas emissions and reducing carbon footprints. However, a low-carbon economy is not only about environmental protection but also closely related to human health. Against this background, a special topic on low-carbon economy and health in the context of carbon neutrality is proposed, aiming to promote the emergence of a series of emerging research and the sustainable development of low-carbon economy and human health. The articles included under this topic have been researched from different perspectives, introducing new research perspectives, methods, and techniques for the further development of the topic, which will have a positive impact on promoting the in-depth research and development of the topic.Zhu et al. concluded that the NSGA-II algorithm performs well in the doctor-patient bilateral matching problem, but the matching accuracy needs to be further improved. In terms of the pharmaceutical supply chain, Fu and Zhao considered the risk of pharmaceutical supply chain disruption under two modes of centralized and decentralized decision-making and constructed a combined contract model to effectively coordinate the pharmaceutical supply chain under supply disruption crises, but further research is needed in the area of stable coordination of pharmaceutical supply chain with multi-levels and multi-objects. In terms of public health expenditures, Omri et al. concluded from their study that public and private health expenditure is effective in mitigating environmental degradation on health status in Saudi Arabia, especially public health expenditure. In terms of regional green development, Wang W et al. constructed a rating model for the high-quality development of China's Yangtze River Delta Green Integration Demonstration Zone, and proposed methods and approaches to measure the construction milestones of high-quality development, which provides a reference for the evaluation study of high-quality development in other city clusters. The model suitability can be further improved by combining the actual data of city clusters in future studies. In terms of government guidance, Xu et al. observed in their study that the characteristics of local government information sources have a significant positive effect on consumers' willingness to purchase low-carbon agricultural products, which can effectively promote the development of low-carbon agriculture. However, the study lacks quantitative research on the degree of contribution of regional brand low-carbon agricultural products to the development of low-carbon agriculture. Hu et al. offer suggestions for establishing and managing a low-carbon technology innovation system, along with insights into theoretical research on public health and high-quality development in China. Wang Q et al. examine the impact mechanism of environmental education on environmental quality in the context of low-carbon economy. Wu et al. analyze the optimal use of urban resources based on public health. Bai et al. utilize unit root tests, co-integration tests, and regression analysis to empirically investigate the associations between carbon emissions and GDP in the industry, construction, and transportation sectors. Zheng et al. provide significant practical contributions to sustainable development and the promotion of responsible population growth.The topic of low-carbon economy and health in the context of carbon neutrality has been studied multidimensionally in the articles included in this topic. In terms of the doctor-patient relationship, To sum up, for the special topic of low-carbon economy and health in the context of carbon neutrality, researchers have carried out relevant research in the areas of healthcare resource allocation, public health resources, urban green and low-carbon development, and the process of low carbonization of sub-fields. The further deepening of this topic expands the research field, provides subdivided research directions, relevant theoretical foundations, research methodological references, data support, and case analyses, and plays a positive role in promoting subsequent in-depth research. In more in-depth research in the future, the following can be further explored: the evaluation system of healthcare resource allocation and the construction of a low-carbon supply chain, the supply and allocation of public health resources in less developed regions, the quantitative assessment method of the impact of low-carbon economic policies and measures on health, and the process of decarbonization in the fields of agriculture, industry, and urban construction, as well as synergistic effects among different fields.YZ: Writing\u2014original draft. ZL: Writing\u2014review and editing. CH: Writing\u2014review and editing."}
+{"text": "Editorial on the Research TopicHighlights in quality of life 2021/22www.pubmed.gov, the growth immediately becomes apparent, with 2,038 papers published in 1992, 7,391 in 2002, but a staggering 40,740 in 2022 alone.Quality of life (QoL) has long been a part of medical research, attracting a steadily increasing amount of attention from scholars around the world. However, recent years have seen an unprecedented rise in research about the topic. Once the terms [(patient-reported outcomes) or ] are entered into the search strategy at Patient-Reported Outcome Measures (PROs) are used to assess QoL. A PRO has been defined as any report about patient health status which comes directly from the patient, without being interpreted by a physician or anyone else . PROs arProtocol for the Cultural Translation and Adaptation of the World Endometriosis Research Foundation Endometriosis Phenome and Biobanking Harmonization Project Endometriosis Participant Questionnaire (EPHect) presents the process in detail. Content and face validity of WERF EPHect EPQ-M were performed. The cross-cultural translation and adaptation of the questionnaire was carried out using the recommended guidelines and COnsensus-based Standards for the selection of health status Measurement Instruments (COSMIN standards) (The paper andards) . The proandards) .International databases are becoming increasingly important, especially in the context of collecting data to conduct analyses on large groups of subjects in many conditions, e.g., in endometriosis, as presented in the paper. Research data registries contain shared datasets and facilitate collaborative research between various international centers. Surgical databases which collect information about the outcomes of the procedure and complications are of great importance.Community-Engaged Approaches to Cervical Cancer Prevention and Control in Sub-Saharan Africa: A Scoping Review, deals with the issues of cervical cancer prevention. Organized screening has decreased cervical cancer incidence in the developed countries. However, at the same time, cervical cancer remains to be the leading cause of cancer-related mortality among African women. The paper is a narrative review describing community-engaged approaches to cervical cancer prevention and control methods in Sub-Saharan Africa (SSA). The Covidence systematic review software was used and nine articles were selected for the final analysis. The objectives of the review were as follows: to describe community engagement activities in cervical cancer prevention and control in SSA, to identify the aspects of cervical cancer research which used community engagement, and to describe the best practices for community engagement in achieving the goal of cervical cancer prevention and control. The study presented a Community-Based Participatory Research (CBPR) framework and analyzed the research, in accordance with its eight principles.The following article, Cervical cancer is a global public health problem, with a particularly high burden in many low- and middle-income countries. The proven effectiveness of interventions such as vaccination against the most oncogenic human papillomavirus (HPV) types, and screening, particularly with HPV-based methods, makes cervical cancer a largely preventable disease . SubstanMis et al., is released under the auspices of the World Endometriosis Research Foundation. The organization aims to be a global charity facilitating research into endometriosis to improve knowledge and treatment. In turn, the authors of the narrative review highlight the role of tribal leaders, religious leaders, and community health workers in increasing knowledge about cervical cancer and screening. They highlight strategies to identify and engage target populations and improve awareness.Both articles address the topic of research methodology. On the one hand, we have a paper on an international database covering a variety of patient medical data to improve our understanding of endometriosis. On the other hand, we have a paper evaluating the feasibility of community-based prevention of cervical cancer. The authors of these papers aim to reduce the morbidity of endometriosis and the incidence of cervical cancer. The WERF EPHect EPQ-M questionnaire, whose validation is presented by"}
+{"text": "Efficient and secure supply chains are vital for effective health services worldwide. In low- and middle-income countries, the accessibility, affordability and availability of essential medicines, including antimicrobials, remain challenging. Ineffective supply chains often cause antimicrobial shortages, leading to inappropriate use of alternative agents and increasing the risk of antimicrobial resistance. Shortages, coupled with insecure supply chains, also encourage the infiltration of substandard and falsified medicines, leading to suboptimal treatment and further promoting antimicrobial resistance. Addressing antimicrobial supply-chain issues should be considered a key component of antimicrobial stewardship programmes. We have explored the link between medicine supply chains and antimicrobial use in seven focus countries: Kenya, Malawi, Nigeria, Sierra Leone, Uganda, United Republic of Tanzania and Zambia. We explored country medicine supply-system structures, national medicine supply-chain policy documents and global study reports. Our aim was to develop evidence-based strategies to enhance the effectiveness and efficiency of the medicine supply chains in supporting antimicrobial stewardship efforts. Better management of medical supply chains involves rational selection, quantification, forecasting, procurement, storage, distribution, use and stock management of antimicrobials. Important supply-chain considerations include pooled procurement networks to ensure consistent pricing of quality-assured antimicrobials, and improved resource utilization and information exchange among relevant stakeholders. We propose adaptable recommendations for integrating medicine supply chains as an essential part of antimicrobial stewardship programmes, with a call for action at the local, regional and national levels in low- and middle-income countries. Antimicrobial resistance disproportionately affects low- and middle-income countries.Health supply chains are the processes and operations required to get products and medicines from manufacturers to health-care staff and patients at the right place, price, time, cost, quality, efficacy and quantity. Strong and secure supply chains save lives. They are the fundamental building blocks of national welfare systems and are necessary for the achievement of the sustainable development goals. The coronavirus disease 2019 (COVID-19) pandemic drew attention to the importance of resilient supply chains in national emergency response efforts.A continuing challenge in low- and middle-income countries is inadequate access to essential medicines and medical supplies, including antimicrobial medicines.There is limited published information specifically on the supply chains for antimicrobials and access to these medicines in low- and middle-income countries. In this article we explore the impact of medicine supply chains on antimicrobial use, focusing on seven countries of the Commonwealth Partnerships for Antimicrobial Stewardship programme. We issue a call to action on incorporating supply-chain considerations into antimicrobial stewardship policies and processes.\u00ae articles published between 2015 and 2021. \u2013All seven countries obtain, fund and distribute essential medicines through a combination of health ministries, nongovernment organizations and the private sector. The existing systems are classified as tier systems, single agencies or devolved. Except for Nigeria, every country has a centralized supply chain. All seven countries have existing national essential medicine lists. Kenya, United Republic of Tanzania and Zambia have WHO AWaRe categories of antimicrobials recommended in their national essential medicine lists. All seven countries face challenges in the management of health products and technologies that are familiar to many high-income countries. Challenges reported in medicine supply chains include: inadequate quality assurance; weak regulation; poor enforcement of laws; unavailable and unaffordable medicines; transport and storage infrastructure; poor information and logistics management; inadequate human resources; and inadequate financing.Local supply chains for medicines and medical supplies in Kenya are dependent on three supply chains within the health sector: the health ministry; non-profit procurement agencies; and private distributors and wholesalers.\u2013Shortages of essential medicines in KenyaThe supply chain for essential medicines in Malawi follows a rigorous process that ensures compliance with the Public Procurement Act (2003) and the Public Procurement Guidelines (2004). The Central Medical Stores Trust sources medicines and other health commodities in accordance with the policies and guidelines of the Director of Public Procurement. Essential medicines are distributed from a central warehouse to three regional medical stores which supply public health facilities.Malawi has other parallel supply-chain systems for essential medicines, especially relating to disease programmes such as tuberculosis, malaria and reproductive health. Chronic stockouts of medicines at the central medical stores and in health facilities remain a challenge.There are two key agencies in Nigeria involved in medicine supplies: the National Agency for Food and Drug Administration and Control; and the Pharmacists Council of Nigeria. The pharmaceutical services division within the Nigerian food and drug authority is part of the health ministry and regulates and monitors the pharmaceutical supply chain, supporting access to quality medicines in Nigeria.Nigeria supplies agencies have faced difficulties with selection of medicines and vaccines, procurement and distribution of medicines, inventory management and storage infrastructure.,The National Medical Supplies Agency of Sierra Leone, formerly the Directorate of Drugs and Medical Supplies, undertakes the transparent and cost\u2013effective procurement, warehousing and distribution of drugs and medical supplies on behalf of all public institutions throughout the country.The impact of the COVID-19 pandemic on the local pharmaceutical industry resulted in severe drug shortages and medicine insecurity in the country due to the restrictions imposed on cross-border imports.The management of essential medicines and health supplies in Uganda is guided by the Essential Medicines and Health Supplies Management Manual of 2018. The National Medical Stores provide the public health-care facilities with the core antibiotics.As in many other low- and middle-income countries, Uganda faces challenges with enforcement of regulations, creating multiple nodes of entry for medicines into the market that may accelerate the proliferation of substandard and falsified products.The United Republic of Tanzania has a centralized procurement system for medicines. The Medical Stores Department, under the Public Procurement Act 2004 and Regulations 2005, is empowered to advertise, receive, evaluate and award successful bidders for government contracts. The price and quality of the product are given equal consideration when awarding the tender.The country has a higher use of antimicrobials compared with many other countries worldwide. Contributing factors include a relatively higher burden of infectious diseases; limited diagnostic services in health facilities; widespread availability of antibiotics without prescription; and the unexplained use of certain antibiotics in the animal health sector.Zambia has a three-tier public sector distribution system for essential drugs. The primary distribution of drugs and other health commodities is managed by the Zambia Medicines and Medical Supplies Agency, formerly Medical Stores Limited. The secondary distribution of commodities falls under the responsibility of district health management teams reporting to the health ministry. The national pharmacovigilance unit under Zambia\u2019s Medicines Regulatory Authority leads and coordinates the pharmacovigilance or drug safety monitoring programme in the country.According to Zambia\u2019s national health strategic plan, the key planning issues for the medicines, vaccines and medical supplies sector are weak coordination mechanisms and accountability in supply-chain management, and an inadequate quality management system for data in the supply chain.,Challenges within antimicrobial supply chains worldwide, including in low- and middle-income countries, make forecasting and mitigating antimicrobial shortages difficult.,Antimicrobials, especially antimalarials and antiretrovirals, are the most commonly falsified medicinal products worldwide.The main functions of countries\u2019 national medicines regulatory authorities include: (i)\u00a0control of pharmaceutical products through registration and post-marketing surveillance; (ii)\u00a0control of activities by licensing and inspection of manufacturers, importers, exporters, wholesalers, distributors, pharmacies and retail outlets; (iii)\u00a0control of clinical trials; and (iv)\u00a0control of promotion of pharmaceuticals. However, in 2010 the World Health Organization (WHO) estimated that 34 out of 38 national medicines regulatory authorities in sub-Saharan Africa were not enforcing basic regulatory functions.Drug shortages, combined with inappropriate prescribing and use of antimicrobials, accelerate the development of antimicrobial resistance and hence reductions in antimicrobial effectiveness.,Pharmacists have an important role to play.,Addressing supply-chain challenges requires consistent efforts at the global, national and regional levels, building on existing partnerships and legislation. We need to address ways to pool the procurement of medicines, improve the forecasting of supply needs and increase the commitment to improving processes and resources. Measures could include appropriate storage conditions, implementing efficient transportation and distribution systems, and maintaining reliable quality control measures throughout the supply chain. Sustainability of medicine supply chains remains an elusive goal that is yet to be integrated into discussions.We can improve antimicrobial stewardship and strengthen the knowledge and evidence base of factors contributing to antimicrobial resistance through ongoing surveillance and research.WHO AWaRe antibiotic book offers clear and evidence-based recommendations on the appropriate antibiotic choice, dosage, administration route and treatment duration for over 30 prevalent clinical infections in both primary health care and hospital settings. The book\u2019s information aligns with the antibiotic recommendations outlined in the WHO Model list of essential medicines and WHO Model list of essential medicines for children, as well as the WHO AWaRe antibiotic classification.African antibiotic treatment guidelines for common bacterial infections and syndromes also provide care workers with expert recommendations for antimicrobial selection, dosage and duration of treatment for common bacterial infections and syndromes among paediatric and adult patient populations in Africa.It is important to ensure that, as far as possible, appropriate Access and Watch antibiotics are available for the most common infections within hospitals across Africa. The Post-marketing surveillance and pharmacovigilance is needed to detect substandard and falsified medicinal products. Efforts are also required to improve medicine quality by strengthening the medicine distribution chain; ensuring the use of quality-assured drugs through improved pharmaceutical governance; and strengthening the technical capacity of regulatory laboratories, particularly in poor and rural communities.We propose that the basic principles of medicine supply-chain systems should be included in capacity-building for antimicrobial stewardship teams and health-care personnel at local, national and global levels. The managers of procurement systems within a country are responsible for ensuring the continuous availability of essential quality-assured medicines at an affordable price. Implementing monitoring and evaluation systems for antimicrobial resistance and antimicrobial use as part of national action plans could contribute to the use of quality-assured medicines, and reduce the distribution of substandard and falsified medical products.In the absence of stringent national and international regulatory oversight, ensuring the quality of medicines becomes a choice rather than a duty. As a result, there is a risk that poor-quality medicines will enter the supply chain, causing harm to individuals and public health.Box\u00a01Optimize appropriate antimicrobial use through pre-service and in-service training for health-care workers on effective medicine procurement, inventory control and distribution management.Designate local resource mobilization as a priority area in health ministries to build and sustain the medicine supply-chain systems.Engage the right human workforce into the local supply chains to ensure reliability of the systems .Establish or empower medicine and drug and therapeutics committees to act as an oversight mechanism in health-care facilities.Establish antimicrobial stewardship programmes that include supply-chain management as an essential component, to ensure rational antimicrobial selection, quantification and forecasting, procurement, storage, distribution, use and stock management of antimicrobials.Streamline and strengthen national medicine supply-chain systems. Use pooled procurement networks, to ensure consistent pricing of quality-assured antimicrobials and to improve resource utilization and information exchange between organizations.Harmonize drug master files and specifications required for antimicrobial resistance surveillance.Standardize pre-qualified supply mechanisms, including those from manufacturers, to ensure constant availability of antimicrobials.Increase the number of well-designed studies into medicine supply-chain management to identify gaps and challenges in low- and middle-income countries.Increase quality assurance programmes that conduct routine inspections of manufacturers, suppliers and warehouses to ensure medicines meet international quality standards.Consider approaches such as the Lom\u00e9 Initiative to criminalize the trafficking of falsified medical products.Increase regulatory capacity and reporting mechanisms to detect and tackle substandard and falsified medical products.Strengthen national medicines regulatory agencies and harmonize legislation, taking a collaborative approach through the African Medicines Agency.Increase local production of antimicrobials to strengthen supply-chain resilience and reduce the risk of infiltration of substandard and falsified antimicrobials.Encourage more national policies and government regulatory frameworks for the essential infrastructure, such as national warehousing, distribution and transport of quality-assured health products.Incorporate analysis of bottlenecks into national supply chains to identify underlying causes and human behaviours that influence procurement agencies and practices.Integrate digital health systems interventions, with the implementation and scale-up of logistics management information system software, to improve the forecasting, monitoring, evaluation, tracking and planning of medicine supply chains. Model list of essential medicines.Ensure that appropriate Access and Watch antibiotics are available for key diseases relevant to the national context and the World Health OrganizationSet up consumption surveillance systems for antimicrobials to ensure rational antimicrobial selection and use, particularly lower down the supply chain.Develop and implement antimicrobial national action plans to include supply-chain management.Ensure antimicrobial stewardship initiatives address over-prescribing and inappropriate prescribing; improve patient adherence to treatment regimens; and address potential environmental contamination, for example through inappropriate disposal of antimicrobials.Update mechanisms for the review and reporting of substandard and falsified medicines, providing a user-friendly and safe environment to encourage reporting and facilitate feedback."}
+{"text": "A wide variety of traits is heritable and has genetic loading, including schizophrenia spectrum disorders (SSDs) and its associated neurocognitive features. The genetic architecture of SSDs is polygenic, with the contribution of thousands of single nucleotide polymorphisms of small effect with an estimated SNP-heritability of 24%. The same occurs with neurocognitive phenotypes such as intelligence or educational attainment. Therefore, the method of polygenic risk scores (PRS) is useful in estimating the genetic burden of such traits. Moreover, the use of PRS in a sample of genetically related individuals would allow analyzing the contribution of genetic and environmental factors involved in the development of the disorder and its candidate endophenotypes.To estimate PRS for schizophrenia, and polygenic scores for intelligence and educational attainment in patients with First Episode Psychosis (FEP), their first-degree relatives (siblings and parents), and a group of healthy controls.The sample is comprised of 579 participants of the PAFIP-FAMILIAS project in Santander, Spain . All provided sociodemographic information and completed the same neuropsychological battery. Participants\u2019 DNA was extracted from venous blood samples, and genotyping was performed at the Centro Nacional de Investigaciones Oncol\u00f3gicas (CeGen) by the Global Screening Array v.3.0 panel (Illumina). Data quality control, imputation, calculation of PRS, and genetic association analysis are being performed using PLINK, SHAPEIT, IMPUTE2, SPSS and R.Data analysis is currently in progress, at the quality analysis stage, in collaboration with the Institute of Psychiatric Phenomics and Genomics (IPPG) in Munich, Germany. We expect to find higher PRS for schizophrenia in FEP patients, while their first-degree relatives will potentially show intermediate risk scores between patients and healthy controls. A similar finding is expected regarding intelligence and educational attainment, as FEP patients may show more genetic burden for low intelligence and education.The estimation of PRS has demonstrated to be valuable in studying complex traits such as schizophrenia. We believe that by applying this method in a family design can provide interesting insights on the development of SSDs and its potential endophenotypes, and potentially useful in their prevention.None Declared"}
+{"text": "We are delighted to publish the second volume of the Research Topic: Antimycobacterial Drug Discovery\u2014Molecular Therapeutics and Target Identification. The Research Topic continues the discussion with an emphasis on the identification of novel antimycobacterial compounds and, more broadly, antibacterial compounds isolated from natural products or derived synthetically. Studies on the mechanisms of action of these bioactive molecules provide insights into the design of safer therapeutics and antimicrobials for the treatment of multidrug-resistant infections.Khare et al. The authors provide a comprehensive summary of the effects produced by alkaloids, phenolic compounds, terpenes, and coumarins against drug-resistant pathogens, with a focus on the major determinants of antibiotic resistance, such as efflux pumps, cell permeability, and modification of the antibiotic targets. Rubio et al. report on the mechanism of cellular uptake of mycolactone, a lipid toxin produced by Mycobacterium ulcerans, from the circulating plasma Using a combination of dynamic light scattering and fluorescence spectroscopy, the authors demonstrate how mycolactone behaves in solution and how it interacts with serum albumin and lipoproteins in plasma. Monitoring plasma levels of complexes formed by mycolactone and albumin/lipoproteins could be useful for the early diagnosis of patients with Buruli ulcer disease. Wang et al. investigate the effect of the labdane diterpenoid andrographolide on the hemolytic activity of S. aureus. Andrographolide dose-dependently inhibits hemolytic activity by significantly downregulating the transcript levels of the Hla gene, which in turn is responsible for the expression of the crucial virulence protein Hla. Molecular dynamics simulations of Hla-andrographolide interactions provide valuable insights into the structural requirements for the observed activity and have the potential to design more potent andrographolide analogs. Hoffmann et al. demonstrate the repurposing potential of nitroxoline for the treatment of multidrug-resistant tuberculosis (MDR-TB). Originally approved for the treatment of urinary tract infections, nitroxoline was tested in a panel of MDR-TB cells and found to have MIC values of 4\u20138\u00a0mg/L. Finally, Korycka-Machala et al. report the synthesis of thiosemicarbazide-based compounds and their structure-activity relationship against Mycobacterium tuberculosis. The authors demonstrate the efficacy of these compounds in inhibiting the growth of intracellular M. tb and reducing biofilm formation. The selection of resistant mutants and their whole genome sequencing identified the mmpR5 gene as a target for these analogs.The second volume begins with a review of the antimicrobial properties of phytochemicals by Taken together, the second volume of this Research Topic: \u201cAntimycobacterial Drug Discovery: Molecular Therapeutics and Target Identification\u201d, provides recent advances in the development of antibacterial and antimycobacterial agents. We acknowledge the contributions of all the authors that made this research volume possible."}
+{"text": "After the introduction of nanotechnology as a new science, there were tremendous changes in its application. Nanomaterials rapidly penetrate a diverse area of biomedicine and pharmaceutical research, including drug development, drug delivery, tissue engineering and medicinal chemistry. Its versatile use helps in alleviating complex difficulties faced with drug administration and absorption, controlled release, targeted delivery and cellular uptake. Due to their distinctive physico-chemical properties and ability to form various solid-state formulations, they find increased use in the preparation of new drug formulations, imaging techniques and particularly in medicinal chemistry as catalysts for the sensitive determination of drugs and other biologically active compounds. The role of nanomaterials as catalysts in the preparation of substances with pharmacological properties, the preparation of sensors, or the degradation and removal of medicinal compounds polluting the environment is undeniable.This special issue aims to cover recent advances in the preparation and application of nanomaterials in the above-mentioned fields. Its scope includes the role of nanomaterials in drug delivery and the development of new drug formulations, novel polymorphs and other solid-state forms, the influence of nanotechnology on the physico-chemical properties of importance to adsorption, distribution and metabolism of drugs, tissue and cellular uptake of nanomaterials and their treatment potential and application of nanomaterials as catalysts for the sensitive and selective determination of biologically active compounds.The special issue is guest-edited by Hassan Karimi-Maleh, Afsaneh L. Sanati, Rozhin Darabi. The whole issue will be split into two consecutive issues. This issue, the first of the series, consists of 5 review articles and 6 original papers. Two reviews address the synthesis of nanomaterials and their applications . A review by D. Pylypenko (\u201cLiposomes: from August Wassermann to vaccines against COVID-19\u201d) covers liposomal antigens as antigen-delivery systems for diagnosis and immunoprophylaxis. Two additional reviews tackled the use of nanomaterials as therapeutics (\u201cSupremacy of nanoparticles in the therapy of chronic myelogenous leukemia\u201d and \u201cInfections associated with SARS-CoV-2 exploited via nanoformulated photodynamic therapy\u201d). The original papers present the preparation and application of nanoparticles of different materials such as cyclodextrin, silica, selenium, silver, chitosan and polyvinyl alcohol."}
+{"text": "The number of patients reporting the use of cannabis for medical purposes, whether through state-regulated medical marijuana programs or through over-the-counter hemp extracts, continues to grow. The growth in medicinal use of cannabis has in many ways surpassed the scientific data on the benefits and hazards of cannabis, and the scientific community has largely been left playing catch-up. Since 1996, when California became the first jurisdiction to legalize medical cannabis, the number of states following suit has grown and is currently at 37, while nearly 50 countries have legalized medical cannabis including Canada, Austria, Uruguay, Australia, South Korea, and Lesotho.Cannabis sp. produces a number of phytochemicals with potential medical benefits including terpenes, flavonoids, and a unique class of molecules called cannabinoids, of which \u03949-tetrahydrocannabinol (THC) and cannabidiol (CBD) are the two most studied [ studied ,2. Amazi studied .Cannabis and Cannabinoid Research, in 2016, Medical Cannabis and Cannabinoids, in 2018, and The Journal of Cannabis, in 2019.The recent growth in cannabis and cannabinoid research is perhaps best highlighted by the establishment of three scholarly journals devoted solely to this topic in the past few years, namely, This Special Issue features fourteen original research articles across a wide range of topics and includes 10 reports on phytocannabinoids, 2 studies examining the endocannabinoid system, and 2 papers using synthetic cannabinoids. Three of these studies looked at the role of cannabinoids at mediating pain, two studies examined cannabinoids for treating mental illness, two studies addressed the potential safety of cannabinoids, two looked at cannabinoids as treatment options for gastrointestinal inflammation, and two studies examined the impact of cannabinoids on neurodevelopmental diseases. Other studies examined the impact of cannabinoids on cancer cell growth, anti-inflammatory activity in fibroblasts from patients with rheumatoid arthritis, regulation of matrix metalloproteases and cell proliferation, and regulation of neuroprotective genes in the brain. These various topics highlight the wide-ranging potential benefit of cannabis and cannabinoids to treat an array of human illness and disease.In a study by Moreno-Sanz and colleagues, the impact of inhaled cannabis to treat pain and anxiety was examined . The autIn addition to the Moreno-Sanz study described above, one other study examined cannabinoids in mental illness. A study by Zer-Aviv et al., found that inhibition of the endocannabinoid metabolizing enzyme fatty acid amide hydrolase (FAAH) produces a stress-protective effect through activation of \u03b2-catenin in the nucleus accumbens region of the brain . The stuHajjar and colleagues examined the use of prescription and non-prescription medications in patients using medical cannabis, as self-reported by patients . The stuBacalia et al. examined the impact of CBD on intestinal inflammation, and they found that in female mice, CBD suppresses inflammation in the absence of estradiol, but it enhances inflammation in animals with estradiol . YekhtinG\u00e1ll and collaborators found that CBD increases the latency to the first seizure and decreased the mortality associated with the pentylenetetrazol (PTZ)-kindling model of epilepsy in rats . HoweverIn another study that examined the anti-inflammatory activity of cannabinoids outside of the gastrointestinal tract, Lowin et al. found that the impact of THC on inflammation in synovial fibroblasts from rheumatoid arthritis (RA) patients is dose dependent . TherefoCannabis and the potential therapeutic utility of some of these molecules to treat a number of medical conditions [Four review articles in this Special Issue summarize information on a wide array of topics related to cannabinoids. Duranti and collaborators review the current literature on the endocannabinoid system with regard to neuroprotection and neuroregeneration . The focnditions . Tudorannditions . Finallynditions .In a brief report by Sestan-Pesa et al. the authors explore the mechanism by which THC may lead to increased risk of schizophrenia, depression, and anxiety by looking at ghrelin signaling . GhrelinLicitra and colleagues performed a systematic review of the literature on cannabinoids in zebrafish . The autCannabis is a complicated plant that produces over 100 cannabinoids in addition to terpenes and flavonoids. Adding to the complexity of trying to address the mechanism of action for cannabis is the fact that the cannabinoids that have been studied have been reported to exhibit activity at a number of different receptors. This makes cannabinoids (and cannabis) a promiscuous drug. While typically viewed as a negative, promiscuous drugs do offer some advantages, most notably the ability to target different pathways of a disease with one medication [dication . The fie"}
+{"text": "Editorial on the Research TopicAugmented-, virtual- and mixed reality in visceral surgeryTechniques such as Augmented Reality (AR), Virtual Reality (VR), and Mixed Reality (MR) are increasingly entering the medical workplace and, in conjunction with the field of visceral surgery, represent a potential paradigm shift that could reshape surgical strategies, training methods and patient education. For this reason, the present research topic serves to explore the interrelationship between these immersive technologies and the complex field of visceral surgery.The development of patient-specific, three-dimensional organ models using advanced imaging modalities such as computed tomography (CT) and magnetic resonance imaging (MRI) had enabled groundbreaking progress in this field, offering immense potential of immersive technologies in the field of visceral surgery.Enhanced by AR or embedded in a virtual environment by VR, these complex, patient-specific 3D models provide surgeons with unprecedented insight into the complexity of their patients\u2019 condition, potentially improving not only the precision of surgical planning but also providing an excellent opportunity for patient education. Furthermore, it provides surgeons, both experienced and trainee, with the unique ability to immerse themselves in immersive training scenarios that mimic real-world situations. These capabilities will allow these technologies to serve as cornerstones for the next generation of surgeons to train their skills in a risk-free environment.The collaborative nature of this research topic embodies the multi-faceted methodology essential for navigating the unexplored terrain of Extended Reality in the context of visceral surgery. This field brings together general surgeons, visceral surgeons, anatomists, biologists, and distinguished faculty members from renowned medical institutions. Their common effort is to advance the clinical, translational, and basic research that provides the foundation for these new technologies. Through the combined effect of our efforts, we aim to uncover the full spectrum of the potential of AR, VR, and MR, thereby finding solutions to both known and unforeseen challenges.Cetin et al. particularly address the utilization of a VR headset as a tool to assess the feasibility of an innovative illumination concept for the operating room. Meanwhile, Reinschl\u00fcessel et al. and Staubli et al. focus on the 3D visualization of patient-specific anatomical structures and the utilization of the generated models for preoperative planning. In addition, Pu et al. showed the possibilities of using SpyGlass in the treatment of complex pancreatic stones of the pancreatic duct.In this context, Cetin et al. describe a feasibility study regarding the utilization of automated lighting systems in the operating room. Both real-world and virtual tests were conducted to investigate the effectiveness of the automated lighting systems. The findings demonstrate that the application of automated lighting systems in the operating room presents a promising possibility for enhancing visibility during surgery and facilitating working conditions for medical personnel. In this paper, Virtual Reality assumes a central role, as a VR simulation was employed to assess the efficacy of an automated illumination system within the operating room. The VR simulation was executed on a computer, presenting an operating room-like scenario.Reinschl\u00fcessel et al. delineate in their work the utilization of VR technology for the planning of liver tumor resections. Two instances of liver tumor resections are expounded upon, wherein VR was employed for surgical planning and preparation. The authors deliberate upon the advantages and challenges relating to the application of VR technology within the domain of surgery.Staubli et al. outline a novel approach aimed at enhancing comprehension of biliary anatomy and facilitating surgical trainee education through the integration of Magnetic Resonance Cholangiopancreatography (MRCP) with VR. The authors have developed a VR application enabling users to visualize and manipulate biliary anatomy in a three-dimensional context. The application was subjected to case studies, demonstrating its capacity to augment the understanding of biliary anatomy and streamline the instructional process for surgical trainees.Pu et al. discuss the use of endoscopic retrograde cholangiopancreatography (ERCP) combined with SpyGlass technology for the treatment of pancreatic duct stones (PDS). The authors present a case study of a 54-year-old male with severe abdominal pain and pancreatic duct stones. The study emphasizes the advantages of SpyGlass-assisted ERCP, including improved visualization, accurate biopsy, and successful stone removal, particularly for complex cases.The integration of immersive technologies such as AR, VR and MR into the field of medicine, specifically within the complex field of visceral surgery, unveils a vast array of potential opportunities that have the capacity to revolutionize patient care and everyday clinical practices across almost all domains. The studies of this Research Topic serve as the initial step towards a series of upcoming research projects vividly demonstrate the range of potential applications of extended reality techniques."}
+{"text": "The globalization of food trade and the emergence of disease outbreaks involving several foodborne pathogens and foods has focused the attention of both the research community and consumers on food safety. Microbial contamination can involve different stages of food processing and distribution, with a potentially dramatic impact on human health and food business. Several methods, involving culture-dependent and -independent techniques, were developed to detect foodborne pathogens in the food supply chain. In this respect, gold-standard reference methods are currently available for most pathogens, but some of them are time-consuming and expensive. Moreover, routine controls carried out by manufacturers and food safety authorities are normally focused on bacteria and not on viruses and fungi, which can have a significant impact on food safety. In the European Union, the number of human cases caused by Noroviruses and other Caliciviruses increased sharply in 2021 .w), are now known to allow the persistence of pathogens [The conditions imposed by the physical and chemical characteristics of food products, as well as by the hurdles adopted in food manufacturing, act as selective factors for the survival and the growth of pathogens . Howeverathogens . Dominanathogens ,6. Interathogens ,8. On thThe control of food-borne pathogens in food systems has evolved over time to promote the safety of food products and extend their shelf-life. The main control methods aim to inhibit the growth of foodborne pathogens by chemical and physical approaches. However, many of these methods affect the characteristics of food products, show low effectiveness over time, have a significant environmental footprint, and are not appreciated by consumers. New biocontrol methods have been proposed to maintain food appearance and acceptability, to preserve nutrients and to extend shelf-life . Among tSalmonella enterica, Campylobacter jejuni, enterohaemorrhagic Escherichia coli and Listeria monocytogenes are the most common foodborne pathogens in human cases [Aliarcobacter spp., Cronobacter spp., Vibrio spp., Clostridioides difficile, Mycobacterium paratuberculosis, Streptococcus suis, Helicobacter pylori, and Yersinia enterocolitica [Surveillance is a long- or short-term control and management measure, aimed to monitor foodborne pathogens and their socio-economic impact, which includes the systematic collection of relevant incident data, disease frequency and additional factors regarding the incidence and the spread of outbreaks . Trackinan cases ,17. HoweThis Special Issue aims to publish quality articles on the detection and control of foodborne pathogens, also considering the impact of innovative technologies and the emergence of new foodborne pathogens."}
+{"text": "New England Journal of Medicine [The purpose of this perspective is to highlight potential unintended and adverse consequences of the increasing use of glucagon-like peptide-1 receptor agonists (GLP-1RAs) in children and adolescents. We propose a set of activities suited in particular to the NIH National Center for Advancing Translational Science (NCATS) network of Clinical and Translational Science Award (CTSA) hubs to mitigate these possible threats to pediatric health. Our apprehension is heightened, ironically, because recent studies have corroborated in children and adolescents the remarkable effectiveness of the GLP-1RAs in the management of type 2 diabetes and, as satiety-enhancing medications, in obesity that had been previously demonstrated in adults. Two studies were published in the impactful Medicine . CurrentMedicine , their iA major element of our concern is that unbalanced and inappropriate reductions in caloric (energy) intake could be induced by GLP-1RA in children and adolescents. Energy in children and adolescents is expended not only on physical activity but also, unlike in adults, on growth and development. The balance of energy intake and energy expenditure influences growth and health across the lifespan. For example, with appropriate levels of exercise and diet during adolescence, bone mineralization is increased and the risk of osteoporosis and pathologic fractures much later in life is lessened . Almost Rapid development of oral-administration formulations of GLP-1RA and the proclivity among adolescents for risk-taking create aAnecdotal clinical experience of our group suggests that there is already widespread knowledge in the pediatric population about the GLP-1RA\u2019s effectiveness as satiety medication aiding weight loss, not helped by apparent widespread use documented in the popular media . Health et al. cited above in their publication on semaglutide effectiveness in pediatric obesity [Adding to our concerns about potential abuse and overuse of the new GLP-1RA medications is the increasing medicalization of pediatric conditions , many of obesity ,19. HoweWe recognize the challenges imposed by implementing truly effective lifestyle interventions in children and adolescents who are obese or suffer from frank type 2 diabetes. By the time such children or adolescents gain access to medical intervention (which is currently limited at best) or are eligible for clinical trials, the clinical trialist and primary care provider must overcome the years of poor diet, sedentary behavior, and lack of available, safe, and supportive venues for vigorous play and exercise that for the majority of these children paved the way for their conditions. In the classic 2002 NEJM study designed to prevent the transition of pre-diabetes to frank type 2 diabetes in adults [The pharmacokinetics and pharmacodynamics of certain GLP-1RAs like liraglutide have been studied in both adult and pediatric populations ; howeverBuild and support multidisciplinary teams of frontline clinicians, community partners, physiologists, and behavioral and pharmaceutical scientists to address the knowledge gap in GLP-1RA effects in children and adolescents , mandated in sixteen states covering \u223c 60% of American school children . SB-PFT Work with the FDA and other agencies to update guidelines for lifestyle interventions in pediatric clinical trials that incorporate state-of-the-art approaches to quantifying, monitoring, and evaluating physical activity, adherence to diet, and accurate measurement of body composition beyond the current reliance on the body mass index, a suboptimal metric of overweight and obesity in adolescents .Elevate and enhance training of the clinical trial workforce on state-of-the-art understanding of effective lifestyle interventions. Such training should also target primary care pediatricians whose exposure to exercise and nutritional science is currently quite limited .Develop, demonstrate, and disseminate learning modules for school personnel , parents, school-aged children, primary care pediatricians, and child mental health professionals about the GL1-RA medications, their appropriate uses, and possible abuse.The GLP-1RA class of medications will benefit children and adolescents with morbid obesity and type 2 diabetes. We also believe that their overuse and abuse are inevitable. The NCATS emphasis on the science of translation positions the network of CTSA hubs to mitigate these potential threats to child and adolescent health. Attention to real-world data, team science, community engagement, implementation and dissemination, and health disparities will be key in formulating research and policy planning. Accordingly, we propose the following elements as a call to action for CTSA hubs across the nation:"}
+{"text": "This Special Issue of the journal Materials aims to gather recent advancements and novel developments in the field of finite element modeling of microstructures in composite materials. The primary focus of this Special Issue is to explore the intricate relationship between composite microstructure and its macroscopic behavior through the utilization of finite element modeling techniques. By showcasing the latest research, this Special Issue aims to enhance our understanding of the fundamental principles governing the mechanical response of composites at the microscale and their implications at the macroscale. Researchers from various disciplines are encouraged to contribute their valuable insights, methodologies, and findings, thus fostering a collaborative environment for advancing the field of microstructural modeling in composite materials.The microstructure of composite materials is incredibly intricate, encompassing the arrangement, distribution, and interaction of constituent components, such as phase materials, voids, and defects. It plays a crucial role in determining the macroscopic behavior of composites, and the relationship between microstructure and macroscopic behavior is highly complex. To investigate this relationship, various tools have been employed, including analytical analysis, mechanical testing, and numerical modeling. Among these, numerical modeling, particularly finite element simulation, offers numerous advantages. The development and refinement of finite element models for microstructures in composite materials have revolutionized virtual testing and prototyping. This approach significantly reduces the reliance on expensive and time-consuming experimental trials, making it a cost-effective and efficient tool for exploring different design configurations and optimizing composite structures. Finite element modeling excels in predicting and analyzing the failure mechanisms of composite materials. By simulating crack initiation and propagation, delamination, and other damage mechanisms, researchers can pinpoint critical regions, evaluate the structural integrity of the material, and propose strategies to enhance its durability and reliability. Leveraging finite element modeling empowers researchers and engineers to gain valuable insights into the effects of microstructure on composite behavior, enabling informed decision-making in composite material design and optimization processes.In terms of future implications, the advancements in finite element modeling of microstructures in composite materials hold immense potential for further progress. Continued developments in computational techniques, algorithms, and multiscale modeling approaches will contribute to even more accurate and efficient simulations. The integration of experimental data with modeling results will synergistically enhance predictive capabilities, resulting in more reliable and optimized composite materials.Moreover, the integration of finite element modeling with artificial intelligence and machine learning techniques opens up exciting opportunities for data-driven material design and optimization. The ability to rapidly analyze vast amounts of data, extract meaningful patterns, and generate novel microstructures with desired properties will revolutionize the field, accelerating the development of advanced composite materials.In summary, the field of finite element modeling of microstructures in composite materials is of paramount importance with far-reaching implications. Its impact extends from fundamental research to industrial applications, enabling improved material design, enhanced performance, and cost-effective solutions. The ongoing advancements in this area will undoubtedly shape the future of composite materials, driving innovation, and pushing the boundaries of their capabilities."}
+{"text": "Tropical veterinary diseases remain a major global concern for the health and well-being of animals and humans. The hot-humid climate in many tropical and subtropical regions promotes the spread of diseases caused by pathogens such as viruses, bacteria, parasites, and fungi. Some of the tropical veterinary diseases include foot-and-mouth disease (FMD), hemorrhagic septicemia (HS), Newcastle disease, influenza, rabies, malaria, and dengue fever. The prevalence of tropical veterinary diseases is high in many parts of these regions, particularly in rural communities that rely on livestock for food and income.These diseases also pose risk to human health, either through direct contact with infected animals or through indirect contact with contaminated fomites, food, or water. Circumstantial factors, such as poverty, restricted access to veterinary facilities, and lack of preventative measures, have worsened the situation. The impact of these diseases can be significant, leading to economic losses for the livestock industry, and imposing severe threats to existing and future food security. To address this issue, effective control and prevention strategies, such as awareness of tropical veterinary diseases among the various stakeholders, improved biosecurity measures, strengthened veterinary services in affected areas, improved innovative technologies by incorporating surveillance AI in diagnostic tools, and sustainable vaccine programs, must be implemented. Nevertheless, there is still much work to be done to effectively address the situation, and ongoing research and strategic collaboration from affected countries are crucially needed.The advancement of modern biotechnology, including molecular biology techniques, has significantly contributed to the understanding of the pathogenesis of infectious diseases, specifically tropical veterinary diseases. Molecular pathogenesis research includes the study of the molecular mechanisms underlying the development and progression of a disease, and it has become a critical tool in the control and prevention of diseases. With this, it is possible to study host\u2013pathogen interactions and host immune responses, develop new vaccines and treatments, and improve monitoring and surveillance. For instance, molecular pathogenesis research has led to the discovery of new vaccine targets, the development of novel vaccine platforms, and the identification of new drug targets for the treatment of these diseases.Iurescia et al. conducted a multidisciplinary study to understand the cause of death of captive African penguins (Spheniscus demersus) infected by avian malaria. The approach includes pathological examinations of the penguins' tissues, molecular characterization of the Plasmodium species and lineages, and mosquito surveillance. The investigation reveals that P. matutinum was responsible for the deaths, and Culex pipiens mosquito, which is present in the region, was involved in the transmission of the disease. The study provides important information about the cause of death and highlights the importance of monitoring and preventing the spread of avian malaria in captive populations of African penguins.In captive bird populations, such as in zoos, the presence of mosquitoes and other vectors can facilitate the transmission of avian malaria, leading to outbreaks of the disease. In this collection, Wardhani et al. investigated the presence of viral neuropathogens in the brains of rabies-negative cats and dogs that were submitted to the Thai Red Cross Society (TRCS) with neurological signs before death. Based on the selective viral molecular screening, the study found that various viral neuropathogens were detected, including carnivore protoparvovirus-1 (CPPV-1) [canine parvovirus (CPV) and feline parvovirus (FPV)], feline calicivirus (FCV), feline bocavirus (FBoV), feline alphaherpesvirus-1 (FeHV-1), and canine distemper virus (CDV). Immunohistochemistry was also employed to further investigate the localization of each viral pathogen. The results revealed that CPPV-1 was present in most of the brain samples, which may have contributed to the neurological signs observed in the animals. The study highlights the importance of considering other viral pathogens in addition to rabies in the diagnosis of neurological diseases in animals.Moreover, Huang et al. elucidated the role of a specific amino acid in the non-structural protein 1 (NS1) on the virulence of the H5N6 influenza A virus (IAV). The study analyzed the pathogenicity of the H5N6 IAV strains isolate A/duck/Hubei/WH18/2015 (JX) and A/chicken/Hubei/XG18/2015 (XGD) in mice. Accordingly, the JX strain was more virulent than the XGD strain with substantial weight loss, severe damage to the lungs and heart, and increased lethality being observed in infected mice. Moreover, the pathogenicity of recombinant viruses demonstrated that 139D mutation in the NS1 could potentially have an impact on the virulence of the JX strain in mice. This study highlights that the amino acid 139D is significant for the virulence of the virus in mice and could serve as a marker for identifying different variants of the influenza virus.Liu et al., differentially expressed circular RNAs (circRNAs) were identified in various liver cells, including hepatic stellate cells (HSCs), hepatocytes (HCs), and Kupffer cells (KCs), after infection with the Echinococcus multilocularis parasite. The findings were validated using quantitative real-time polymerase chain reaction (qRT-PCR) on a selected set of circRNAs. The study also aimed to explore the circRNA\u2013microRNA\u2013mRNA network in these cells during the infection. The result found that the expression of certain circRNAs in the liver cells was changed after infection and that some of the circRNAs had a role in regulating the expression of microRNAs and mRNAs, which in turn play a role in the host response to the parasite. The study highlights the importance of understanding the role of circRNAs in the host response to parasitic infections, which may provide insights into the development of new therapeutic strategies.In recent years, the expression of circular RNAs (circRNAs) has been extensively studied especially for its biological functions in human cells. In the study reported by Macrobrachium rosenbergii, is highly exported and one of the most economically important seafood in Asia. Zhuo et al. analyzed the complete genome of highly pathogenic non-O1/O139 Vibrio cholerae strain GXFL1-4, isolated from freshwater prawn, Macrobrachium rosenbergii. The study identified the genes that contribute to the pathogenicity and antibiotic resistance of this strain. Based on the prediction, the genome contained multiple genes associated with pathogenicities, such as those involved in motility, adhesion, and toxin production. Multiple antibiotic-resistant genes, including kanamycin, ampicillin, tetracycline, aminoglycosides, and beta-lactams, were identified. The study provides valuable insights into the genetics of this strain of V. cholerae and highlights the presence of genes associated with pathogenicity and antibiotic resistance. The findings may aid in the development of more effective control and mitigation strategies for the disease.The giant river prawn, Wu et al. investigated integrated vector surveillance in Zhejiang Province, China, in 2020, to monitor the occurrence of tropical vector-borne diseases (VBDs). The aim was to identify potential vectors of VBDs, as well as investigate the pathogen infection rates among arthropod vectors and reservoir hosts, including mosquitoes, rodents, ticks, and chigger mites. A pathogen infection survey on mosquitoes and rodents and a drug resistance survey on Aedes albopictus were conducted. The survey demonstrated that the primary vectors of tropical VBDs in the region were mosquitoes and ticks and that the pathogens and reservoir hosts were present in certain areas of the province. The study highlights the importance of integrated vector surveillance programs in the early detection and control of tropical vector-borne diseases.In terms of surveillance in tropical veterinary diseases, Thus, the study of molecular pathogenesis plays a crucial role in enhancing the understanding of tropical veterinary diseases and developing new strategies for control and prevention. Studying the molecular basis of diseases helps in developing more accurate diagnostic methods, effective treatments, and strategies for disease prevention, leading to improved health and wellbeing of animals and humans in tropical regions. This collection will be beneficial in adding an in-depth insight into the molecular pathogenesis of tropical veterinary diseases.All authors listed have made a substantial, direct, and intellectual contribution to the work and approved it for publication."}
+{"text": "The neuro-developmental deficits of Attention-Deficit Hyperactivity Disorder (ADHD) including decreased attention span, hyperactivity, distractibility, and impulsivity are frequently observed in children, adolescents and adults with a range of conditions , Cochran et al. report (n = 734), contrary to previous studies, that maternal smoking during pregnancy and pregnancy associated hypertension are did not predict ADHD at 10 and/or 15 years.In the ELGAN Study sample of children born at extremely low gestational age , more than double the prevalence of ADHD in otherwise healthy pediatric populations, highlighting that the negative influence on neuropsychiatric functioning likely begins sooner in the disease course than previously anticipated. The authors propose these findings are of large practical importance as ADHD symptoms are likely to impact routine everyday decisions crucial for diabetes management .Several studies in this issue describe specific aspects of ADHD and ADHD \u201csymptoms\u201d in chronic pediatric conditions. Duquette et al. describe ADHD in children with Chronic Kidney Disease (CKD). Although the sample size was small, results from the current study provide some of the most comprehensive findings to date on the differential attention functioning of children with CKD. Taken together, these findings suggest the existence of specific types of attention dysfunction, particularly in the focus/execute, sustain, and encoding, components of attention .Uliel-Sibony et al. provide a comprehensive literature review of the common co-occurrence of ADHD and epilepsy, and describe the latest research regarding possible etiologies explaining the common co-occurrence. This review looks at the influence of medications on both disorders and the recommended treatment approaches in accordance with the latest literature .Sabag and Geva provide a neurobiological perspective on the very significant comorbidity of attention in autism spectrum disorder (ASD), describing the framework of attention network activation in ASD, and suggesting that this neurobiological perspective be considered for further investigation in naturalistic settings.Slobodin and Davidovitch highlight the associations and differences between children's self-reports, parents' and teachers' reports, and standardized continuous performance test (CPT) data, and discuss the clinical and ethical imperative of taking children's perspectives into account during ADHD diagnosis and treatment.Dakwar-Kawar et al. providing initial support for the efficacy of this combined method in improving processing speed in the presence of mental fatigue in pediatric ADHD.Novel treatment approach of trans-cranial electric stimulation combined with cognitive training is described by Dutta et al. complete the series with a bottom-up holistic approach to the psychopharmacology of ADHD in the context of recent models of attention and suggest that future studies are greatly needed to better appreciate the interactions among an ADHD diagnosis, stimulant treatment across the lifespan, and structure-function alterations in the aging brain.We hope this Research Topic will update our readers on both research and clinical aspects of ADHD.IB, AL, and YL conceptualized and conducted the project, collected the study data, drafted the manuscript, and reviewed the final manuscript. All authors have read and approved the final manuscript."}
+{"text": "Frontiers in Nutrition Research Topic aimed to address various issues related to the robustness of nutritional science, from methodological issues with field-specific research and counseling, to managing conflict of interest and problems with scientific decision making in public health nutrition. Our Research Topic gathered 30 authors from North America, Europe and Asia that provided a mix of original research, review and perspective papers that timely suit co-editors invitation, exploring topics in nutritional epidemiology, food policy and economics, and nutritional methodology. Addressing the aforementioned topics holds the potential to fortify evidence-based knowledge within the realm of human nutrition as a scientific field, and perhaps pave the way for the establishment of elevated scientific standards and a heightened sense of public responsibility, echoing the sentiments expressed by Ioannidis delved into the international research landscape of the past decade concerning vitamin D and its implications on reproductive health. The researchers meticulously analyzed over 1,800 articles and reviews, revealing a significant diversity in terms of represented subdisciplines, authors' backgrounds, research frontiers, and the quality of peer-reviewed journals where these papers were disseminated. While the field of study has garnered substantial global attention, it has displayed an uneven progression, marked by multidisciplinary research hotspots primarily focusing on risk factors and detrimental consequences of vitamin D deficiency. Nevertheless, the report emphasizes the need for more robust investigations. Specifically, it suggests delving into the heterogeneity of vitamin D deficiency across populations, enhancing the utility of vitamin D-related biomarkers, and adopting a mechanistic approach to scrutinize the effects of vitamin D on health indicators. This significant report reiterates the call for the design of more comprehensive cause-and-effect studies within the realm of nutritional sciences. Furthermore, it underscores the importance of embracing personalized approaches, aligning with previous views of Bassaganya-Riera et al. . Through collaborative efforts involving federal and public stakeholders, as well as expert groups, and the meticulous execution of systematic reviews, NESR has emerged as a pivotal initiative in informing evidence-based decisions by the U.S. government concerning public health nutrition. This encompasses pivotal contributions to the development of the Dietary Guidelines for Americans. The article also underscores the imperative need for other organizations to contemplate adopting a similar approach, perhaps modeled after NESR, to ensure a collaborative process that adeptly addresses potential or perceived conflicts of interest among all stakeholders involved.Another review article within this Research Topic look into the systematic review process of the U.S. Department of Agriculture's Nutrition Evidence Systematic Review Branch (NESR), exemplifying the utilization of a diverse range of expertise and experiences while effectively managing potential conflicts of interest and randomized-controlled trials may offer a more favorable strategy for generating pertinent insights into the intricate interplay between nutrition and health.A thought-provoking perspective article by Ko et al. investigated the reliability and validity of the Korean version of the Children's Eating Behavior Questionnaire (K-CEBQ) for children with anorexia. This parent-reported measure is designed to assess variations in eating style, and the researchers conducted two rounds of the study, surveying over 350 participants online. They demonstrated good internal consistency reliability and temporal stability of the K-CEBQ, indicating its reliability for assessing the eating behavior of children with this eating disorder. The paper also calculated the optimal cut-off values for the two category scores of the K-CEBQ, food approach and food avoidance. This provides a practical tool for healthcare professionals that could aid in diagnosing children with anorexia and assessing their treatment progress. The article emphasizes the need for future studies to consider other confounding factors (besides age and gender) that may influence anorexia features in children.Finally, a research paper by The current Research Topic offers a comprehensive overview of advancements in the realm of scientific integrity within nutritional research, advocating for a robust and practical approach from both clinical and public health standpoints. By adopting optimal strategies for research data generation and analysis, while also embracing a personalized approach such as precision nutrition, and considering diverse diet-specific neuro-psychological factors, the field can be revitalized. This rejuvenation holds the potential to bolster public policy, shed light on the broader population, and ultimately contribute to a more informed and healthier society.SO: Writing\u2014original draft. N\u00d8: Writing\u2014review & editing."}
+{"text": "The medical care costs for procedures, medications, and testing associated with atrial fibrillation (AF) in the United States are high and projected to increase markedly in the future as the number of Americans affected grows. The burden on patient quality of life, the health care system,and society are pharmacoeconomic considerations in managing AF.To identify key pharmacoeconomic considerations in managingAF and describe ways in which managed care pharmacists can improve the cost-effectiveness of and outcomes from drug therapy for AF.The high medical care costs of AF are largely the result of the high cost of hospitalization and inpatient procedures. Recurrence of AF dramatically increases costs, especially for hospital care.Managed care pharmacists have many opportunities to provide cost effective care to and improve outcomes in patients with AF. Policy and process review, population management, and case management are key strategies for improving outcomes in patients with AF. Pharmacist input into policy and process review, including pharmacy benefits design, formulary management, and the use of information technology, can help ensure that the use of drug therapy for AF is cost-effective. Population management strategies, such as development of clinical pathways and patient registries,seek to improve the quality, consistency, and cost-effectiveness of care and the likelihood that desired therapeutic outcomes are achieved through targeted interventions. Case management strategies focus on longitudinal care for individuals in order to improve quality. Pharmacist-managed anticoagulation services and antiarrhythmic drug monitoring are the 2 most widely known case management strategies for patients with AF. Managed care pharmacists can screen patients with AF for the use of anticoagulation,which is needed to prevent embolic stroke but is under-used, even though recommended by evidence-based guidelines. The clinical efficacy and cost-effectiveness of pharmacist-managed anticoagulation services forpatients with AF are well documented. Pharmacist-managed antiarrhythmic drug monitoring is a less well-known case management strategy that facilitates early detection and intervention to minimize toxicity.Managed care pharmacists can play an instrumental role in implementing strategies to improve the cost-effectiveness of and outcomes from drug therapy for AF."}
+{"text": "The purpose of this paper is to describe NASA\u2019s approach to establishing and maintaining a set of Agency-level Space Flight Human System Standards managed by the Office of the Chief Health and Medical Officer (OCHMO) at NASA that enables space flight missions by minimizing health risks to astronauts, providing vehicle design parameters, and supporting the performance of both flight and ground crews. NASA standards capture and provide knowledge, guidelines, thresholds and limits for the successful design and operation of spacecrafts and missions. The NASA Space Flight Human-System Standard (NASA-STD-3001) consists of two separate volumes of technical requirements: NASA-STD-3001 Volume 1: Crew Health addresses the requirements needed to support astronaut health and provide medical care; NASA-STD-3001 Volume 2: Human Factors, Habitability, and Environmental Health addresses human-integrated vehicle system design and operational requirements that will maintain astronaut safety and promote human performance. These standards are managed by an OCHMO team who continuously works with national and international subject matter experts and with each space flight program to provide the best technical requirements and implementation documentation to support the development of new programs. Through partnerships across the space flight industry, these technical requirements are constantly evolving to enable successful implementation of NASA programs and the commercialization of human space flight. These primary hazards include:4, the impact of radiation on pharmaceuticals and food should be minimal, but additional research is being conducted to fully assess the impact6. Sources of increased radiation exposure include galactic cosmic rays, solar particle events, and onboard radioactive technologies. Vehicle design and engineering can provide a certain level of protection to crewmembers from radiation exposure, however not all types of radiation can be shielded from, and crewmembers are invariably exposed to higher levels of radiation during spaceflight compared to on Earth. Reference Radiation Protection NASA OCHMO Technical Brief for additional information7.Radiation Exposure: Outside of Earth\u2019s natural protection, radiation exposure is abundant in space. Crew exposure to the space radiation environment may pose health risks including the risk of neoplasm, damage to the central nervous system, altered cognitive functioning, reduced motor functioning, and acute behavioral changes. In addition, based on analysis and limited data from the International Space StationAcceleration, Acoustics, Artemis Lighting, Cabin Architecture, Carbon Dioxide, Decompression Sickness (DCS), Environmental Control and Life Support System (ECLSS), Food and Nutrition, Electrical Shock, Lighting Design, Sleep Accommodations, Vehicle Hatches, Waste Management, and Water NASA OCHMO Technical Briefs for additional information21.Hostile/Closed Environment: Spacefaring humans must depend on an enclosed vehicle to survive, which involves inherent risks due to engineering . The habitability of the spacecraft is imperative for astronaut health and safety. The spacecraft must also provide astronauts the essential elements they require to live and work in space, including food, body waste management, sleep accommodations, and exercise. Reference Behavioral Health and Performance, Behavioral Health Mishaps, Cognitive Workload, Usability, Workload, Error, and Sleep Accommodations NASA OCHMO Technical Briefs for additional information25.Isolation and Confinement: Crewmembers live and work within a small, enclosed environment with other crewmembers for extended periods of time during space flight. Even with careful selection of crewmembers and extensive training, interpersonal and behavioral health issues within the crew are expected. Workload considerations, circadian desynchronization and sleep disturbances, and lack of communication with Earth all play a role in potential performance decrements, negative health outcomes, and potentially loss of mission objectives. NASA has developed several methods to monitor crewmembers\u2019 behavioral health status during space flight and developed tools and technology to identify potential issues earlier and provide the appropriate treatment or intervention. Reference Spaceflight Experience and Medical Care Technical Brief26.Distance from Earth: As the future of space travel moves toward longer-duration missions beyond lower-Earth Orbit to the Lunar surface and Mars, distance from Earth will become one of the biggest obstacles of safe and productive human space flight. Lack of resupply vehicles, communication delays, potential medical emergencies, and equipment failures are just some of the obstacles that astronauts will face during future space flight missions. Reference Principles of Clinical Medicine for Space Flight27 for a comprehensive review of the human systems affected by space flight and microgravity. Appropriate countermeasures and interventions are imperative to keep crewmembers healthy, safe, and performing at their highest potential. Reference Bone Loss, Spaceflight Experience and Medical Care, and Pharmaceuticals and Medications NASA OCHMO Technical Briefs for additional information29.Altered Gravity Environment: The experience of astronauts transitioning from one gravitational field to another introduces a host of considerations for crew health, safety, and performance. Future missions will involve several changes in the gravity environment, thus operational parameters must implement all strategies available to mitigate these decrements as much as possible. In addition, humans living and working in space for extended periods of time leads to many health complications that makes returning to Earth\u2019s gravitational environment difficult. Changes to bones, muscles, eyes , and the cardiovascular system are just some of the problems that astronauts deal with when returning from space flight. Reference There are five primary hazards of space flightWhen combined, these five hazards of space flight create a complicated landscape and impact the ability to support the health, safety, and optimal performance of space flight crews. In addition, as mission duration lengths increase with a greater focus on deep space exploration, these hazards become even more important to address in order to enable the future of space travel.30. The Human System Risk Board (HSRB) was created to implement this process by the NASA Health and Medical Technical Authority. Its responsibility includes implementing a consistent process of gathering and assessing evidence, providing a likelihood and consequence of the risks, and in turn providing recommendations to updating the NASA-STD-3001 documents so that the set of technical requirements remains up to date with the most current knowledge.Over the past 50+ years of human space flight, NASA has collected an evidence base of medical, environmental and research data on the effects of space flight on the human body. However, even with years of collected data, NASA has a relatively small population of flown astronauts, making it difficult to fully understand the effects of space flight hazards. In order to address this difficulty, NASA implemented a new cross-discipline process to understand the hazards of space flight and gather, assess, and correlate evidence to better predict the probability of an event occurring and the level of consequence the event would have on human health and productivity. This strategy provides the ability to weigh the risks relative to each other and leads to effective tradeoffs to ensure maximal mission success with the least risk to human health31. It was first adopted by the International Space Station Program (ISSP) and written primarily for the International Space Station (ISS) infrastructure. As time passed and the development of new programs with needs separate from the ISS emerged, an updated set of standards with broader applicability was needed to replace NASA-STD-3000. Driving reasons behind this update included the fact that the original standard was too comprehensive, was too focused on design solutions, and raised questions on the verifiability of some technical requirements. After a second variation of NASA-STD-3000 and an accompanying handbook were created32, NASA-STD-3001 was baselined and implemented in 2009 by the NASA OCHMO. These standards are applicable to all human space flight programs and projects, enabling the creation of human-centered program-specific technical requirements. Each technical requirement within these documents includes a \u2018shall\u2019 statement that must be considered in the development of a program-specific set of human-systems design requirements. Technical requirements include rationales which provide additional information and justification for the purpose of the technical requirement, as well as some potential guidance on how to verify the technical requirements being met. Figure The first set of space flight human system standards was baselined Agency-wide in late 1980s and was known as NASA-STD-3000: Man-System Integration Standards (MSIS)Volume 1 of NASA-STD-3001 focuses on human physiological functioning and views the human system as an important part of the overall vehicle design process and mission design. It sets the standards for fitness for duty, space permissible exposure limits, permissible outcome limits, medical care, medical diagnosis, intervention, treatment and care, and countermeasures. Aerospace medicine is deeply rooted in preventive care in addition to being prepared to respond to known physiological and psychological challenges of space flight, as well as unexpected injury and illnesses that could impact crewmembers during their career as an astronaut. Volume 1 seeks to address this comprehensive approach through screening, preventive healthcare strategies, medical care, launch and landing contingencies, and post-mission care, reconditioning, and long-term monitoring. NASA-STD-3001 Volume 1 contains 72 technical requirements as of Revision B published in 2022 that are levied against all human-integrated space flight programs. Table Volume 2 of NASA-STD-3001 focuses on human-systems integration, including human physical and cognitive capabilities and limitations, and defines requirements for spacecrafts , internal environments, ground processing, facilities, payloads, and related requirement, hardware, and software systems. These include requirements to the design of systems that directly interface with the flight crew such as environmental support systems, architecture, controls and displays, and operations, as well as requirements for the design of systems that both ground and/or flight crew access during assembly, test, checkout, or troubleshooting procedures supporting ground processing, launch, landing, and recovery operations. NASA-STD-3001 Volume 2 contains 471 technical requirements as of Revision C published in 2022 that are levied against all human space systems and must be tailored for each individual system to ensure that the end product meets all the requirements. Table Each individual NASA program that will include human-rated systems must implement NASA-STD-3001 in the development of their specific program requirements. The program is responsible for reviewing the set of standards, identifying the technical requirements that are applicable to their specific program/design reference mission, and tailoring the standards into detailed requirements to be implemented in the program. In addition, the programs must provide verification information which details the program\u2019s plan to verify that their requirements are meeting their intent. Examples of a tailored 3001 technical requirement to program requirement and its related verification language is provided in Fig. 33 was developed to provide a tool to determine how individual technical requirements impact future missions and programs. It provides the ability to look \u201cacross\u201d all of the technical requirements and assess their impact on a mission\u2019s success in relation to loss of crew, loss of mission, and loss of mission objectives. The pyramid is broken down into six levels, with the base representing the most fundamental system needs (both vehicle and human) and the top-level representing optimization of human and mission performance. This hierarchy is useful in determining the applicability of technical requirements for programs during the formulation stage of development. The pyramid also helps to categorize technical requirements that increase the probability of achieving mission objectives.During the early formulation stage of a program, it is helpful to assess the cross-relationship of standards and how they impact specific missions and programs. The Human Space Flight Standards Hierarchy Fig. 33 was de32 is a companion document designed to accompany NASA-STD-3001 Volume 2. It includes information specific to human space flight history and lessons learned, design information, reference data and background information, and application guidance for the wide variety of disciplines and topic areas covered by NASA-STD-3001. The main purpose of the HIDH is to help requirements writers prepare program-specific human requirements and to help designers develop designs and operations for human interfaces in spacecrafts. The scope of the handbook encompasses all crew operations both inside and outside spacecrafts in space and on Lunar or planetary surfaces. It includes design guidelines for crew interfaces with workstations, architecture, habitation facilities, extravehicular activity (EVA) systems; information describing crew human capabilities and limitations ; and environmental support parameters. The potential users of the HIDH include program managers, program/system requirements writers, human factors practitioners, engineers and designers, crews and mission/flight controllers, and training and operations developers.The Human Integration Design Handbook (HIDH)34 that cover a range of topics. Each technical brief includes information regarding technical data, background, reference information, and application notes to aid with the development of hardware, systems, and vehicles, as well as human needs and limitations. This information is used by vehicle developers, program requirement writers, and medical professionals. These technical briefs integrate content from multiple technical requirements and provide a quick, informative resource to reference when working with NASA-STD-3001. Currently, there are 31 published human space flight technical briefs with additional topics being added on a regular basis. Stakeholders, NASA SMEs, and other potential users are encouraged to submit their ideas for future technical brief topics that would be informative and useful for ongoing work.The OCHMO 3001 Standards Team has developed a repository of human space flight technical briefsNASA Subject Matter Experts (SMEs) are invaluable resources for ensuring that current technical requirements include relevant and important content for each individual area of interest, utilizing the expertize and experience of the SMEs to provide the best available information to form new and update existing technical requirements.Human System Risk Board (HSRB) as described previously, helps to inform the standards through regular reviews of identified space flight human health risks which includes an overview of the related technical requirements and potential recommendations to update those technical requirements to address any changes or concerns regarding each specific risk.35. The results from HRP\u2019s research and findings helps to inform the technical requirements and provide important updates using new and updated knowledge,NASA Human Research Program (HRP) is a program dedicated to conducting ongoing space flight research in many facets of human space travel and includes five elements: the International Space Station Medical Projects, Space Radiation, Human Health Countermeasures, Exploration Medical Capability, and Human Factors and Behavioral PerformanceThe NASA-STD-3001 documents are reviewed and updated in a continuous cycle in order to keep the technical requirements current and up-to-date with the latest knowledge and guidance. Potential updates and recommendations for the technical requirements are identified through several different avenues, which include but are not limited to:The process for updating the NASA-STD-3001 documents and related handbooks includes a specific set of steps to be followed to ensure consistent and accurately documented changes to the standards. Figure The future of NASA and human space flight is undergoing significant changes, with the landscape of space travel and exploration turning toward longer-duration missions on the Lunar surface and eventual deep space to Mars. In addition, commercial partners have become the primary contributors to supporting ongoing human space travel and thus it is imperative to consider their role in the future of space flight. The NASA-STD-3001 documents are invaluable resources for the evolving space flight environment, providing commercial partners with the necessary knowledge and guidance to enable safe and effective human space travel. In addition, lessons learned and feedback from previous programs development activities and operations helps to inform future programs on how to appropriately integrate the 3001 technical requirements to achieve their goals and objectives and overall mission success."}
+{"text": "There is a wide range of renewable materials with attractive prospects for the development of green technologies for the removal and recovery of metals from aqueous streams. A special category among them are natural fibers of biological origin, which combine remarkable biosorption properties with the adaptability of useful forms for cleanup and recycling purposes. To support the efficient exploitation of these advantages, this article reviews the current state of research on the potential and real applications of natural cellulosic and protein fibers as biosorbents for the sequestration of metals from aqueous solutions. The discussion on the scientific literature reports is made in sections that consider the classification and characterization of natural fibers and the analysis of performances of lignocellulosic biofibers and wool, silk, and human hair waste fibers to the metal uptake from diluted aqueous solutions. Finally, future research directions are recommended. Compared to other reviews, this work debates, systematizes, and correlates the available data on the metal biosorption on plant and protein biofibers, under non-competitive and competitive conditions, from synthetic, simulated, and real solutions, providing a deep insight into the biosorbents based on both types of eco-friendly fibers. Natural cellulosic (plant) and protein fibers from biological sources (biofibers) are remarkable for their renewability, biodegradability, variety, variability, carbon dioxide neutrality, and recyclability. They fold very well on the coordinates of sustainability, which is one of the most challenging goals of today\u2019s society. With an anticipated annual production of around 40 million tons per year by the middle of the 21st century [Biofibers have historically been used to produce textiles, ropes, carpets, fabrics, and wires . Today, Among the common methods for the removal of toxic metal ions from aqueous media, adsorption occupies a prominent position ,18,19,20The published reviews are either specifically devoted to biofibers and their sources for the adsorption of pollutants in water purification, or cover multifaceted applications of some natural fibers, of which those related to pollution control and remediation are briefly addressed . DespiteThe originality and novelty of this work is that it connects, for the first time, the information on the biosorption capabilities of both cellulosic and protein natural fibers for the removal and recovery of both toxic and valuable metals from diluted aqueous solutions. In addition to its integrative nature, this article is distinguished from the other reviews by the following elements: (i) focus on the ways in which the biosorption activity of natural fibers is affected by industrial competitive conditions; (ii) discussions and comparisons, from two different perspectives, namely natural plant and animal fibers as potential and practical biosorbents for metal uptake. After an overview on biofiber classification and properties, the major debated issues concern: (i) plant natural fibers for metal biosorption from mono- and multi-component aqueous synthetic solutions; (ii) protein natural fibers for metal sequestration from mono-metallic and poly-metallic synthetic solutions; and (iii) practical applications of metal biosorption on natural fibers to real solutions for decontamination and recycling goals.Given the wide range of green fibers, this article will be inevitably incomplete, but its aim is to provide a comparative analysis on practical coordinates, that will be helpful to guide and promote sustainable approaches based on natural fibers in the separation and recovery processes of metals.Biofibers, which are the predominant class of natural fibers can be described as polymeric materials of biological origin that are intact, thin, long, and easily bendable to form an elongated tissue . DependiNatural vegetable fibers originating from more than 2000 kinds of plants worldwide consist mainly of cellulose, hemicellulose, and lignin and are also known as lignocellulosic fibers . As can Bombyx mori.The second group of natural fibers includes animal fibers consisting of proteins (keratins). According to Natural plant and animal fibers possess a variety of properties of physical, chemical, mechanical, electrical, thermal, biological, optical, acoustic, or ecological nature, which make them very attractive biomaterials . The oveNatural fibers are characterized by their environmental friendliness, worldwide occurrence, low cost, air permeability, low abrasiveness, tunability, and low energy consumption, and have intermediate mechanical properties and higher moisture and temperature sensitivity than synthetic fibers . The maiThe presence of keratins, which are more sensitive to chemical attack and harsh environmental conditions than cellulose, weakens the properties of natural fibers of animal origin . Thus, cBiosorption is an environmentally friendly process of metal separation from a liquid phase as a result of its retention via physical and chemical bonds on a bio-based material (biosorbent) ,25. The As with all biosorbents, the most important property controlling the biosorption capability of natural fibers is their unique surface functionality with high reactivity. The uptake of metal ions on plant biofibers is due to the surface active functional groups, such as the carboxylic groups of hemicelluloses and lignin, the hydroxyl groups in cellulose, hemicelluloses, and lignin, the phenolic groups of lignin, and the carbonyl groups of hemicelluloses . The bioThe surface properties summarized in In addition, because of the remarkable ability of natural raw fibers to be subjected to various treatments, the improvement in the surface properties such as those listed in The successful use of fibers from renewable resources as biofilters for the biosorptive separation of metals depends on the extent to which they meet specific requirements expressed as high biosorption capacity, satisfactory selectivity at different concentrations, high efficiency in sequential or simultaneous removal of toxic metal ions, favorable kinetics, good stability, recyclability, and adaptability to different designs (batch and fixed bed column systems of biosorption) and environmental conditions ,30,32.From this point of view, batch equilibrium and kinetic studies provided most of the knowledge on the removal properties of natural fibers, such as the maximum capacity of metal biosorption and the biosorption rate. These involve immersing a suitable mass of biofibers in a known volume of a synthetic aqueous solution until equilibrium is reached, whereupon the phases are separated . Figure Hibiscus Canabicus kenaf fibers [Additionally, for practical purposes, the information provided by fixed bed column studies is much more relevant and useful. In fixed bed biosorption methods, which can be used to the treatment of large sample volumes, the aqueous metal solution flows continuously at a defined flow rate through a column filled with a given amount of biosorbent . Howeverf fibers , and woof fibers can be mLike all lignocellulosic biomasses, natural plant fibers proposed as biosorbents for the metal removal from mono-component synthetic aqueous solutions often showed performances very close to those of ion exchange resins . Their bLuffa cylindrica fibers [a fibers , okra fia fibers ,166, or a fibers ,168 modia fibers . The moda fibers .2O3 was reported to occur by electrostatic attraction and ligand exchange [Data analysis showed that the mechanism of the biosorption process of metal ions from mono-contaminated model solutions on untreated and modified forms of lignocellulosic fibers is complicated due to the involvement of a variety of cellulosic and non-cellulosic functional groups. At the same time, it is obvious that much research is still needed for a comprehensive understanding. Most proposed mechanisms are based on single or combined chemical interactions, such as ion exchange, electrostatic interactions, complexation, coordination/chelation, acid-base interactions, and precipitation. The dominance of ion exchange was highlighted for the mechanism of biosorption of Cu(II), Pb(II), and Zn(II) on flax fibers , retentiexchange .The strength of the bonds between the metal ions and the natural lignocellulosic fibers was also confirmed by desorption studies ,176,177.Research on the effects of the coexisting ions on the removal performance of the natural plant fibers is not very productive. The most addressed issues relate to the influence of the type, number, and initial concentration of the foreign ions on competitive biosorption. In this context, the studies published so far have mainly investigated the effects of bi-valent heavy metal ions ,198,199,3 [Pejic and coworkers reported efficiencies of 93.01%, 43.9%, and 43.84% for the removal of Pb(II), Cd(II), and Zn(II) from a multi-ionic solution containing Pb(II) (0.2 mmol/L), Cd(II) (0.2 mmol/L), and Zn(II) (0.2 mmol/L) by biosorption on hemp fibers modified with sodium chlorite, which showed almost the same uptake capacity for Pb(II) under competitive and non-competitive conditions . It was 3 . The pap3 . The max3 . Despite3 .Ficus carica fibers was unaffected by the presence of Na+, Cl\u2212, and SO42\u2212, decreased under the condition of Ca(II) and Mg(II) coexisting cations, and increased in the presence of HCO3\u2212 anions [3\u2212 and ClO4\u2212 anions [The reported slight decreases in the maximum biosorption capacity of carboxyl modified jute fibers for Pb(II), Cd(II), and Cu(II) in the presence of Na(I), K(I), Ca(II), and Mg(II) ions were correlated with the increase in light metal ion concentration from 0 to 500 mg/L . Gupta a\u2212 anions . The neg\u2212 anions . The cha\u2212 anions .It is worth mentioning recent works confirming the selective and advanced biosorption of U(VI) on some new biosorbents based on hemp fibers under the conditions of simulated seawaters. Thus, by using polyethylenimine and guanidinyl functionalized hemp fibers, an efficiency of more than 85% was achieved in the removal of U(VI) from artificial seawater with multiple coexisting ions and low initial uranium concentration (3.05\u201399.03 \u00b5g/L) . The neaAs can be seen from the above considerations, the consonant conclusion of all the studies is that the biosorbents based on natural plant fibers have a low biosorption capacity for the coexisting ions under competitive conditions, while they retain a pronounced affinity and selectivity for the metal ions of interest for removal and recovery.In contrast to lignocellulosic biofibers, information on the use of natural fibers of animal origin as biosorbents for water detoxification are scarce and mainly refers to wool, silk, and human hair. This limitation has been justified by the inferior kinetic properties and lower capacity of biosorption of protein biofibers compared to biosorbents based on polysaccharides . However-wool powder and oxidized wool powder performed better than waste wool fibers in biosorption of Cu(II) and Zn(II) from mono-component synthetic aqueous solutions, the optimum pH being 6 ;-Bombyx mori silk > wool order was determined for Co(II) uptake on different untreated protein fibers [tussah silk > n fibers ;-the removal efficiencies of some powdered biosorbents have shown the trends: silk powder > wool powder > cashmere guard hair powder and cashmere guard hair powder > wool powder > silk powder versus Zn(II) and Cr(VI), respectively ;-the efficiency of biosorption of Pb(II) from aqueous solutions with pH = 5.8 on human hair, goat hair and sheep wool has reached the highest value (33 mg/g) on human hair .Most biosorption studies have been conducted on one of the aforementioned biofibers, in the form of loose fibers, powder, or non-woven fabrics. Although accurate comparative analyses are sporadic, given their practical relevance to the selection of the most suitable biosorbent, the following ascertainments should be introduced:Against this background and taking into account the specifics of the properties of the individual fiber types, the metal removal and desorption properties of wool fibers, silk fibers, and human hair waste are discussed separately below.The most targeted protein fibers are wool fibers, through studies mainly concerned with the behavior of low quality native wool, wool waste from industrial processes, and recycled woolen textiles in the biosorption of heavy metal ions , Cd(II), Zn(II), and Cr(III)) from mono-metal synthetic aqueous solutions with initial metal concentrations below 10 mmol/L. As in the case of plant biofibers, the Langmuir isotherm model and the pseudo-second order kinetic model are the optimal solutions for the description of the metal uptake on wool fibers. The significant results of these works are presented in S. aureus and E. coli), anaerobic and sulfate-reducing bacteria, and C. albicans fungus [2 particles have been described as a precursor of a new class of biosorbents for recycling U(VI) from seawater.The focus was to find the best treatment method to improve the biosorption properties of wool fibers. To achieve this goal, wool fibers recommended as potential materials for wastewater treatment were often modified by the irradiation with accelerated electron-beam and graft copolymerization. The significant increase in metal uptake on electron irradiated wool compared to non-irradiated wool is strons fungus . With a s fungus , amidoxiTo obtain a complete picture, the promising desorption properties of some wool biosorbents are described in In addition to the high desorption efficiency, mostly with EDTA, the tested wool fibers have also shown no significant loss of biosorption activity over three to six cycles. For example, the wool graft polyacrylamidoxime exhibited a 5% decrease in Hg(II) desorption efficiency at the end of the fifth cycle . The levBombyx mori silk fabrics [Bombyx mori and Antherae pernyi silk fibers [Bombyx mori and Tussah silk on the fiber composition, the nature of metal ion, and the type of modifying agent [Unlike other natural fibers, the metal binding capacity of silk fibers is determined by the extent of degumming treatment that must be performed prior to use . For exa fabrics and Bombk fibers , untreatng agent . All theThe valorization of these properties for metal ion removal and recycling applications has been hindered by the high cost of raw silk fibers, which are less economical than natural plant fibers ,234,235.Although very rarely investigated for potential applications in the treatment of metal-contaminated aquatic systems, discarded human hair offers some significant advantages over analogous biosorbents. Aside from its universal availability, human hair waste could be used directly as a water filter, without the need for additional pretreatments such as pelletization or immobilization. The data on the performance of human hair waste to the removal of pollutant metal cations from individual synthetic aqueous solutions are systematized in 3 by means of the absorbed energy dose control was proposed [The studies on the behavior of protein biofibers in the uptake of metal ions from poly-metal aqueous synthetic solutions are by no means numerous. Those that already exist followed two lines of investigation: (i) description of the competitive effects in multi-component systems of biosorption ,246,247;proposed . In anotproposed . On the proposed . Chlorinproposed .The available information on the compatibility of biofibers with the real systems of metal-laden wastewater treatment is summarized in -expanding the range of natural fibers tested for biofilter function and target metals;-complete clarification and quantification of the relationships between chemical composition, structure, and properties of the bio-based fibers;-replacement of pollutant chemical methods applied for the treatment of biofibers with cleaner procedures;-a substantial increase in the number of studies on: (i) competitive biosorption; (ii) fixed bed column biosorption; (iii) desorption\u2013regeneration; (iv) disposal of exhausted biosorbents;-thorough deciphering of the biosorption mechanism;-expanding the process scale;-economic analyses;-strong expansion of work on real samplesThe expected transition of natural fibers from suitable candidates to practical biosorbents implementable in greener technologies for the removal, recycling, and reuse of metals requires extensive research focusing in particular on the following:A comprehensive analysis of the scientific literature was carried out, addressing the function of natural lignocellulosic and protein fibers as biosorbents for the removal and recovery of metals from synthetic and real aqueous solutions. Most attention has been paid to natural plant fibers, batch biosorption systems, and studies on the Cu(II), Zn(II), Cd(II), and Pb(II) ions uptake from mono-component synthetic aqueous solutions. In contrast, natural protein fibers, continuous biosorption systems, and multi-metal synthetic aqueous solutions have been much less studied. The proposed mechanisms of metal biosorption on natural fibers are dominated by interactions of ion exchange, electrostatic type, complexation, and coordination/chelation. The promising results of the desorption studies are strong evidence of the good recyclability of the biosorbents based on natural fibers, even if their number is very limited. The preliminary results of the tests with real effluents are encouraging for future industrial applications of biofibers for the severe reduction of water contamination with metal ions and the recovery of valuable metals. Research on the metal uptake capabilities of natural fibers, especially those of animal origin, needs to be continued and deepened, especially in the context of real-world scenarios and a pilot- and large-scale applications."}
+{"text": "Africa faces both a disproportionate burden of infectious diseases coupled with unmet needs in bioinformatics and data science capabilities which impacts the ability of African biomedical researchers to vigorously pursue research and partner with institutions in other countries.The African Centers of Excellence in Bioinformatics and Data Intensive Science are collaborating with African academic institutions, industry partners, the Foundation for the National Institutes of Health (FNIH) and the National Institute of Allergy and Infectious Diseases (NIAID) at the National Institutes of Health (NIH) in a public-private partnership to address these challenges through enhancing computational infrastructure, fostering the development of advanced bioinformatics and data science skills among local researchers and students and providing innovative emerging technologies for infectious diseases research. The emergence of innovative, genomic, and related-omics technologies has revolutionized how basic and clinical researchers are studying infectious diseases and vast amounts of diverse, large, and complex biomedical data are being generated at an unprecedented rate. Bioinformatics and data science-including powerful analytical tools-are providing tremendous opportunities for extracting knowledge from these data sets and accelerating research and discoveries in infectious diseases. Thus, increasing our understanding of pathogens and the diseases they cause impacts the development of new and improved therapeutic interventions and diagnostics. These incredible opportunities are aligned with challenges in storage, management, sharing, finding, visualizing, accessing, integrating, and analyzing data, and highlights the critical need for highly trained bioinformaticians, biostatisticians, and biomedical data scientists.Despite significant advances and recognition that bioinformatics and data-intensive science are essential research tools and critical skills for biomedical researchers in their efforts to pursue basic and clinical research in infectious diseases, Africa faces both a disproportionate burden of infectious diseases and unmet needs in the bioinformatics and data science capabilities ,2. ChallSome efforts to address these challenges in Africa are ongoing and have served to advance the understanding of the nature and etiology of infectious diseases and to inform efforts to develop and provide effective therapeutic interventions; and to improve treatment, healthcare, surveillance, and public health responses including COVID-19 pandemic in Africa . There hNIH career development and bioinformatics training programs supporting global health and data science include the Fogarty International Center\u2019s Nurturing Genomics and Bioinformatics Research Capacity in Africa (BRecA), the Eastern Africa Network for Bioinformatics Training (EANBiT), West African Center of Excellence for Global Health Bioinformatics Research Training program, and African Postdoctoral Training Initiative (APTI) in partnership with the Bill and Melinda Gates Foundation and the African Academy of Sciences. Industry programs such as IBM Research-Africa have worked across African countries to increase capabilities and training in data science and to promote data-driven strategies for healthcare in preventing, treating, and diagnosing infectious diseases. Investments by the World Bank such as the African Higher Education Centers of Excellence Project are also addressing national, regional, and local global health challenges and enhancing and building innovative capacities in training and research. The Developing Excellence in Leadership and Genetics Training for Malaria Elimination program in sub-Sahara Africa (DELGEME), sponsored by the Wellcome Trust in partnership with the Department of International Development, the Alliance for Accelerating Excellence in Science in Africa (AESA), and many other African partners, supports the development of analytical skills in bioinformatics, biostatistics, and emerging technologies for malaria control and elimination in sub-Saharan Africa. In addition, the establishment of the African Society for Bioinformatics and Computational Biology (ASBCB) has enabled the development of communities of bioinformaticians and data scientists across the continent.NIAID has significant experience and investment in supporting basic and clinical global research in infectious diseases and in building and sustaining partnerships, especially in low and low middle-income countries. These are key to fulfilling NIAID\u2019s mission and to improving the health of the global community. As part of this investment, NIAID has a long-standing commitment to supporting bioinformatics and data resources such as computational infrastructure, data platforms and repositories, hands-on-bioinformatics training, and computational tools development to provide the basic and clinical research community with access to state of the art and innovative research data resources. These resources stand ready to assist in the event of emerging diseases, global pandemics, and health emergencies. This community of scientists and trainees can work with tools at the highest level using these established data resources on which to learn and hone their skills.The achievements of NIAID\u2019s ICERs in Africa, as mentioned above, coupled with serious burden of infectious diseases and unmet bioinformatics infrastructure and training needs in Africa were the foundation for the establishment of the NIAID ACE consortium . AlthougThe first ACE Center was established in Mali in 2015 as a public-private partnership between the University of Sciences, Techniques and Technologies of Bamako (USTTB)-who was launching a master\u2019s graduate degree program-and with industry partners Intel Corporation, Hewlett Packard (through the Intel partnership), BioTeam, and EMC Corporation and the Foundation for the National Institutes of Health (FNIH). In 2019, a second ACE Center was opened in Uganda with Makerere University and the Infectious Diseases Institute (IDI), the Research and Educational Network of Uganda (RENU), the Texas Advanced Compute Center (TACC) and ENDUVO. Just as ACE-Mali serves as a regional bioinformatics resource center for research and academic institutions in West Africa, ACE-Uganda serves as a regional resource center for East Africa. ACE Centers offer high performance computing infrastructure for compute and storage capabilities; master\u2019s and Ph.D. degree-granting programs in bioinformatics in collaboration associated with academic partners; telelearning classrooms with over 20 workstations; and superior audio, visual, and networking environments for enhancing virtual, collaborative global research with ACE researchers and students. ACE-Uganda piloted a visualization laboratory featuring virtual reality-based technology with six virtual reality (VR) workstations for research and training. A similar VR laboratory was set up at ACE-Mali in 2020.The ACE Centers are built on a unique framework anchored in public-private partnerships that drive the support of computing infrastructure and bioinformatics training programs, both critical components for enhancing bioinformatics capabilities in Africa. This partnership allowed centers to be established, anchored by academic institutions with access to research space and environments, research and teaching faculty, degree-granting programs, and students interested in careers in bioinformatics. Industry partners provided in-kind contributions and donations for services, consulting, hardware, software configuration, internet connectivity, and software licenses. All the partners contribute to the Centers to support the objectives of ACE and to enhance research through education and infrastructure. For the universities in Mali and Uganda, their contributions included space in their institution\u2019s buildings, renovated classrooms, and the faculty and staff to support the activities. U.S. partners contributed infrastructure, support services, and licenses for software used in the ACE Centers.The ACE consortium is governed by the ACE Global Council, the Scientific Advisory Council, and the NIAID ACE Global Operations Team. The Global Council\u2019s members are outstanding and well-respected scientists with diverse expertise in bioinformatics and data science, infectious diseases, and biotechnology and include non-voting members from the NIAID and ACE centers. Additionally, individual ACE Centers have local management teams to oversee the day-to-day centers\u2019 operations. These are typically constituted by representatives from local collaborating institutions. As a partner, in addition to providing computational infrastructure, NIAID contributes scientific and technical staff to serve as members of the Scientific Advisory Council and Global Operations Team to assist the ACE Directors and faculty on Centers operations, teach courses and hands-on-workshops with faculty from African academic institutions, and provide scientific and technical support.The ACE centers provide a research and training environment with state-of-the-art computational and training facilities that foster networking and collaborations to strengthen research activities. Networking and collaborative activities include hosting workshops and symposia. For example, ACE-Mali and ACE-Uganda have co-hosted workshops with MRC-University of Glasgow on viral bioinformatics. ACE-Mali held the 1st Congress of African Associations for Research and Control of Antimicrobial Resistance on-site with attendees from across the continent and hold an annual Global Health in Bioinformatic Symposium with a training bioinformatics workshop on advanced topics in data science. ACE-Uganda hosted data science workshops in collaboration with the African Center of Excellence in Materials, Products, and Nanotechnology at Makerere University and most recently provided a Virtual Reality demonstration at ACE-Uganda for participants of a workshop organized by Health Education England on Immersive Technology in Emergency Medicine. The ACE consortium supports rapid and timely sharing and access to diverse data sets generated by ACE Centers collaborative research projects and activities that promote the sharing of data in open access data repositories, where data are easy to find, accessible, and can be used and reused. ACE is committed to adhering to the F.A.I.R. principles for data sharing and access and policies and guidelines of the NIAID, the NIH, and other funding agencies, as appropriate ,9. TheseThe ACE Centers offer bioinformatics and data science training programs and activities to enhance, foster, and sustain a diverse workforce of well-trained basic and clinical scientists with bioinformatics and computational expertise who can apply these skills to address global health issues in Africa. Sustaining a diverse workforce of well-trained scientists with bioinformatics and computational expertise and experience with advanced analytics such as artificial intelligence/machine learning will be dependent on increasing a wide range of training opportunities and degree-granting programs, and strong and committed mentors, coupled with career opportunities in Africa.A multi-faceted training program supports master\u2019s and Ph.D. degree-granting programs with academic partners USTTB, IDI, and Makerere University. Support includes curriculum and short and long course development, hands-on-train-the-trainer workshops, seminars, and lectures; all facilitated by ACE Centers\u2019 state-of-the-art telelearning environments for in-person and remote and digital learning with dedicated access to high performance computing infrastructure and internet. A NIAID team of computational biologists, structural biologists, genomic scientists and others in collaboration with ACE faculty members and staff, develops and teaches courses in bioinformatics and emerging technologies as well as organizes workshops and seminars. Since 2017, almost 100 students from across the African continent have enrolled in ACE associated master\u2019s and Ph.D. programs, and in ACE Mali 27 have completed advanced graduate degrees. Over two thirds of these MS graduates are either pursuing a PhD or have started working as Research Assistants in Malian laboratories and pursuing careers in data science or seeking advanced degrees. ACE-Uganda is currently supporting 58 Masters\u2019 students and 9 Ph.D. students. It is anticipated that first cohort of students will be graduating in 2023 and some have already secured data science related positions. Most recently, ACE-Uganda has begun supporting postdoctoral fellows. The ACE consortium has developed and supported more than 200 on-site or remote bioinformatics lectures and hands-on-training on technical topics such as \u201cIntroduction to Linux\u201d to introductory courses in bioinformatics, genomics, systems biology, structural biology, metabolomics, and proteomics. The students in both ACE Centers have been working on research topics that will have a direct impact on health, specifically on infectious diseases well known to their communities such as Malaria, Leishmaniasis, Retrovirus infection, and Tuberculosis. In addition, students are developing data analysis and bioinformatic workflows for broader use which leverages the knowledge acquired through ACE and compute infrastructure .ACE-Uganda is providing the computational infrastructure and data resources to students, faculty, and researchers in support of the new bioinformatics training program, co-hosted by the Department of Immunology and Molecular Biology, College of Health Sciences and Department of Computer Science at the College of Computing and Information Science at Makerere University. The \u201cNurturing Genomics and Bioinformatics Research Capacity in Africa\u201d (BRecA) program leverages highly skilled local and international faculty to increase the number of bioinformaticians in Africa and builds on the programs of the H3Africa-supported consortia . The first cohort of the BReCA program enrolled 50 students and second cohort 24 additional students. In addition to access to the ACE infrastructure, the faculty of the BRecA program works closely with the ACE Global Operations Team to provide bioinformatics training for faculty through train-the-trainer workshops and developing and participating in remote hands-on courses and lectures for students. For example, ACE-Uganda is providing computational infrastructure and services to BRecA for data analysis to develop a software tool that provides HIV risk scores through a telehealth platform as part of funding from the Ugandan government.ACE-Uganda hosted bioinformatics and data science training workshops, one with Makerere University and one with CUNY for postgraduate students and provided bioinformatics training on advanced computational tools related to areas such as structural biology and genomic data analysis. Currently, it is also supporting the development of the national sickle cell disease registry in collaboration with the Department of Pediatrics at Makerere University\u2019s College of Health Sciences. ACE-Uganda has provided high performance computational infrastructure and access to develop and test a bioinformatics training/mentorship model that uses local computational infrastructure. It aims at supporting the faculty from Makerere University and enrich the curriculum with additional hands-on-skills training and mentorship and has successfully served to mentor students . Since iAs an example of ACE Centers providing computational infrastructure and analysis to enhance research projects at partner academic institutions, one of ACE-Mali\u2019s research collaborators used the data resources available at the ACE Center to support their clinical and genetic studies of hereditary neurological disorders (HND) in Mali. Facing several challenges in computational infrastructure as data storage and reliable internet and availability of bioinformaticians for data analysis, ACE-Mali provided infrastructure and technical bioinformatics support for data analysis.Although there has been significant growth in Africa for enhancing computational infrastructure to accelerate biomedical research, significant gaps still exist that limit the ability of researchers and students to manage, use and re-use, access, and analyze data. The continuing lack of strong and reliable high-speed internet impacts the use of cloud-based data resources such as data repositories and advanced computational tools and platforms for data management and analysis. Technical support and maintenance are critical components in building a sustainable model for bioinformatics research and training centers in low-resource settings. The NIAID Global Operations team has been able to manage the infrastructure and classroom learning environments remotely using tools such as Git, Python, Salt and OpenStack to provide configuration management, versioning, and maintenance. The goal is to build sustainable support systems in Africa for training and research\u2013working towards the goal of infrastructure-as-code (IAC) that can allow configuration management and system administration in cloud platforms. The infrastructure leverages cloud operating systems to provision not just to the ACE Centers, but also cloud platforms such as Amazon Web Services, Google, or Microsoft Azure Stack. With this new infrastructure, ACE collaborators, students, and scientists have the data resources to develop and run scientific computing tools for data analytics needed to keep local research current and competitive.Over the last six years, the ACE Centers have become regional bioinformatics centers to support biomedical researchers and students. Using in-kind donations from public-private partnerships, the Centers are equipped and managed with state-of-the-art computational infrastructure that includes strong compute cores, high speed internet access, and a telelearning center with more than 20 stations. ACE-Uganda\u2019s cutting edge biomedically-focused virtual reality technology is available for research and training with six Virtual Reality (VR) stations and used to enhance learning and training for students and faculty. During the COVID-19 pandemic, ACE-Uganda took advantage of the VR stations and equipment and developed a training course in Infection, Prevention, and Control (IPC) which included using personal protection equipment (PPE) for frontline healthcare workers . The locThe ACE consortium serves as a model using a public-private partnership with industry, academic institutions, African governments and other governments as U.S. and non-profit organizations work together to address unmet needs in bioinformatics capacity in Africa and is uniquely poised to impact the training the next African generation of scientists in bioinformatics that are highly skilled to address key research questions in infectious diseases. The partnership includes the use of research facilities and degree-granting programs in academic institutions in Africa, in-kind donations from industry for consulting and computational infrastructure, the Foundation for the National Institutes of Health (FNIH) to facilitate the public-private partnership model, and NIAID\u2019s contribution of scientific and technical staff to assist the ACE Directors and faculty on day-to-day centers operations, teaching courses with faculty from African academic institutions, and provide considerable technical support.Despite the accomplishments of the ACE consortium and other related programs in Africa in reducing barriers in bioinformatics and data science capabilities by improving access to high performance computing and reliable internet, enhancing bioinformatics and data science training and mentorship, increasing the number of trained bioinformaticians in Africa, and advancing biomedical research, much remains to be done. Academic and research centers with strong bioinformatics capacity and training programs exists, yet data research resources and training are not consistently available across the African continent. The sustainability of the ACE Consortium is of highest priority to ensure continuous operation and provide innovative and state-of-the-art facilities and computational capabilities. Key to sustainability will be to enhance local capabilities and funding at ACE Centers for infrastructure, training, and faculty research projects and for the ACE Centers to develop local and international partnerships and seek funding opportunities from local governments, associated academic institutions, local industry, funding agencies, and nonprofit organization to support ACE consortium.The availability and accessibility of data research resources and bioinformatics training for African biomedical researchers and students as they tackle data-intense research projects is essential to leveraging data-driven strategies and transforming data into knowledge, thus impacting the development of new and improved therapeutic interventions, prevention strategies, and diagnostics to reduce the threat of infectious diseases and improve health care in Africa. These efforts need to be expanded across the continent and the key is sustainability through continuous commitment and funding to maintain state-of-the-art computational infrastructure and other data research resources and bioinformatics training programs."}
+{"text": "Dear Editor,This case describes an 80-year-old female Caucasian patient, who sought dermatological evaluation for a lesion on the left foot after local trauma, with progressive growth over two years. Dermatological examination showed a nodular, vegetating, tumor-like lesion covered by hematic crusts on the left plantar region, overlapping an extensive area of deformities in the foot anatomy, caused by healing by secondary intention of burn lesions that occurred in childhood . HistopaThe lesion was completely excised, as well as the ipsilateral lymph nodes, after confirmation of a positive sentinel lymph node for metastatic melanoma. Imaging exams showed alterations suggestive of metastasis in face and skull bones. The patient died after eight months.Marjolin ulcer is a rare and aggressive tumor, occurs mainly in the fifth decade of life, and is prevalent in the male sex.In the epidemiology of melanomas, the nodular type represents the second most frequent one (approximately 15% of diagnosed melanomas), and 5% of nodular melanomas are amelanotic.Amelanotic acral melanoma has an incidence of 1.8% of melanoma cases,5The diagnoses of Marjolin ulcer and melanoma are defined by clinical history, physical examination, and histopathology. The therapeutic options depend on TNM staging, including excision surgery with wide margins or limb amputation, in addition to chemotherapy and radiotherapy.Scars are susceptible to trauma due to a lack of collagen organization and vascular supply compromised by fibrosis, which obstructs vessels. Virchow's theory attributes the development of malignancy in scars to repeated trauma in the area, which leads to chronic irritation, repeated re-epithelialization, and local damage to the skin immune system, with a reduction in Langerhans cells and production of toxins in the affected area, in addition to genetic predisposition.3A rare manifestation of Marjolin ulcer is presented in this case, which presented as a nodular acral amelanotic melanoma, reinforcing the need for advice to patients, care, and regular follow-up of burn scars, for early diagnosis and treatment, reducing morbidity and mortality.None declared.Valentina Louren\u00e7o Lacerda de Oliveira: Design and planning of the study; drafting and editing of the manuscript; collection, analysis, and interpretation of data; critical review of the literature; critical review of the manuscript.Lucia Martins Diniz: Approval of the final version of the manuscript; effective participation in research orientation; intellectual participation in the propaedeutic and/or therapeutic conduct of the studied cases; critical review of the manuscript.Karla Spelta: Intellectual participation in the propaedeutic and/or therapeutic conduct of the studied cases; critical review of the manuscript.Elton Almeida Lucas: Intellectual participation in the propaedeutic and/or therapeutic conduct of the studied cases; critical review of the manuscript.None declared."}
+{"text": "Background: COVID-19 caused devastating effects on global healthcare systems. The elderly and people with chronic comorbidities were at a particularly high risk of mortality and morbidity. However, the evidence on the association of COVID-19 severity with noncommunicable diseases (NCDs) in the African population is scarce. Objective: The aim is to estimate COVID-19 severity among African patients with hypertension, diabetes, and cardiovascular diseases (CVDs) and its implications for case management. Methods: We will adhere to the extension for Scoping Reviews of PRISMA (PRISMA-ScR). The following electronic databases will be searched: PubMed, Scopus, Web of Science, Embase, CINAHL, and Joanna Briggs Institute. The search will be conducted after the publication of this protocol. Two reviewers will extract data from articles published after March 2020 without language restrictions. A descriptive analysis of the important findings and a narrative synthesis of the results will serve as the basis for interpretation. Expected results and conclusions: This scoping review is expected to determine the odds of patients with chronic comorbidities to progress to severe stages of COVID-19. The review will generate an evidence-based and set foundation for recommendations toward the establishment of surveillance systems and referral guidelines for the management of NCDs in the face of COVID-19 and future pandemics. Coronavirus disease 2019 (COVID-19), is an illness caused by severe acute respiratory syndrome coronavirus 2 (SARS-CoV-2) , there wThe effect of the COVID-19 pandemic on global healthcare systems has been profound. In particular, the impact of the pandemic on the elderly and people with non-communicable diseases (NCDs) has been devastating ,5,6,7,8.The increasing burden of NCDs along with the enduring burden of infectious diseases in Africa and other settings in low- and middle-income countries (LMICs) has been well noted . NeverthNonetheless, information on the effect of COVID-19 in Africa focused on health system challenges, and evidence on the effect of COVID-19 in African patients with hypertension, diabetes, and cardiovascular diseases (CVDs) was extrapolated from what was obtained in other parts of the globe. In order to properly allocate scarce resources and to support clinical decisions during the COVID-19 pandemic, it is important to have an evidence-based record, derived from available epidemiological and clinical data on the comorbidity between NCDs and COVID-19 among African patients. This is of particular importance as in many African countries, the demography is characterized by a large proportion of young people and a lower prevalence of lifestyle risks , which may prevent against severe SARS-CoV-2 ,19,20,21A preliminary search on International Prospective Register of Systematic Reviews (PROSPERO) , Open ScWhat type of severity outcomes were reported in the included studies?What relative impact did the selected NCDs have on the severity of COVID-19?Are there specific patient characteristics that increase the risk of COVID-19 severity among patients with the selected NCDs, namely hypertension, diabetes, and CVDs?What strategies and interventions have addressed the risk factors for COVID-19 severity in comorbid patients?Which of the three selected NCDs had a major impact on exacerbating COVID-19 severity in Africa?What impact did the COVID-19 response have on the services for NCDs in Africa?The overarching aim of this review is to focus on the potential factors related to the severity of COVID-19 for African patients with hypertension, diabetes, and CVDs and their implications for case management. The following research questions will guide to conduct this scoping review:http//:osf.io/e9r28 accessed on 12 May 2023) on 17 November 2022.The scoping review will be conducted in accordance with the guidance for pursuing systematic scoping reviews, put forth by Peters and colleagues from JBI in Australia . The metStudies focusing on COVID-19 patients meeting the following criteria will be included: (i) studies that estimated the quantitative relationship between COVID-19 and hypertension, diabetes, and CVDs; (ii) studies conducted on the African continent; (iii) and studies of both observational and interventional designs.Not considered will be studies that met at least one of the following exclusion criteria: (i) studies that evaluate COVID-19 patients without considering NCDs and vice versa; (ii) position papers, editorials, policy statements, case reports, case series studies, perspectives, commentaries, published abstracts, poster and oral presentations, and author reply articles; (iii) studies on the potential association between COVID-19 and other infectious diseases, malignancies, or autoimmune disorders, but not considering diabetes and hypertension; and (iv) articles that speculatively extrapolate findings from studies conducted outside Africa to explain the effects of COVID-19 in Africa.The literature search will include results from studies reporting on COVID-19 and NCD comorbidities among African patients. The review will include studies on adults aged \u226518 years, irrespective of their gender. Data on patients participating in clinical trials, cross-sectional epidemiological studies, or cohort studies (both retrospective and prospective) will be included in the review. Data on patients admitted to any healthcare facility, including outpatient departments, emergency rooms, and intensive care units (ICUs) and reporting to have comorbidities of COVID-19 and NCDs are eligible for the review. However, the review will not consider studies that report from African diaspora patients (living outside of Africa).The review will address the severity of COVID-19 symptoms among African patients due to either one or several of the selected NCDs. For pragmatism and homogeneousness, the review will consider the standard definitions of COVID-19 severities set forth by the World Health Organization (WHO). The common categories for the level of aggravation of COVID-19 among adult population are nonsevere (mild or early stage), moderate, severe, and critical . MoreoveThe systematic search strategy will mainly be aimed at published peer-reviewed articles. To identify potentially suitable articles, we will search documents from the following electronic databases: PubMed/MEDLINE, Embase/Elsevier, Scopus, Cumulative Index to Nursing & Allied Health Literature (CINAHL)/EBSCO, and Web of Science. Because the first COVID-19 case was confirmed in Africa on 14 February 2020, we will search the databases from March 2020 to 28 February 2023 (3-year period) without language restrictions.A three-step search strategy will be used in this review. First, an initial search of PubMed will be undertaken followed by an analysis of the text words contained in the title and abstract and of the index terms used to describe the article. Second, using all the identified keywords and index terms, we will search all the other databases. Third, we will undertake a hand search of the reference list of all the identified relevant documents for potential additional articles. An example of the terms and strings of words applied on PubMed is provided in Records retrieved through the aforementioned search strategy from all databases will be imported into the bibliometric software EndNote\u2122 X9 and screened for relevance and duplication. The criteria for relevance are based on the scope and objectives of the review. Using the inclusion criteria set above, two reviewers will conduct full assessment of the identified scientific publications, and any duplicates will be removed. Any disagreement will be resolved through discussion, and with a third reviewer, as the case might be.The reviewers will develop a data abstraction tool to capture relevant information from the selected documents. The tool will encompass detailed information that includes (i) participant characteristics, such as demographics of patients; (ii) study characteristics, such as study setting, study types, publication dates, authors, methodology, etc.; and (iii) outcomes and key findings related to the review objective. Two reviewers will independently chart information from each selected document to ensure charting consistency and inter-reviewer reliability. In case of disagreements, the two reviewers will resolve through discussion or in consultation with a third team member.\u00ae Excel 2016 . A draft data abstraction tool is provided in All extracted data will be exported to MicrosoftOutcome of the systematic search will be analyzed descriptively using frequencies and percentages. Moreover, graphical presentation including tables and charts will be used, whenever applicable. This will compare and/or reflect the effect of NCDs on the severity of COVID-19. Effect of comorbidities of selected NCDs will be mapped accordingly and will be presented in comparison to those without any comorbidities.In this section, we will summarize the results of the search strategy and the process of document selection, inclusion, and exclusion in both text and chart formats. We will tabulate and describe detailed information about the selected studies. Emphasis will be placed on the following information: authors, year of publication, country, aim of the study, study design, study setting, participant characteristics, sample size, main findings, measures of outcomes, and effect size (if relevant).The abstracted information in relation to the objectives of the review will be summarized and presented in detail. For example, we will present the number of studies that examined associations between COVID-19 and hypertension. We will describe the relative frequencies of the studies by geographical location and number and characteristics of the participants included in terms of age, sex, and severity of COVID-19. Moreover, the types of study designs and outcome measurements will be described. Additionally, the types and strengths of the reported relationships between COVID-19 and hypertension will be given, and the consistency of the findings will be reported. We will also recount the effect of the COVID-19 response measures on patients.After describing the reported relationship between COVID-19 and the three selected NCDs, we will report the relationship between COVID-19 and concurrent NCDs. The final synthesis will present the overall severity of COVID-19 in people with all the selected NCDs.This scoping review is expected to determine the odds of patients with chronic comorbidities to advance into severe stages of COVID-19 and to estimate the extent to which NCD services were affected during the COVID-19 response in Africa. In doing so, the review will provide new evidence and set foundations for recommendations toward the establishment of surveillance systems and referral guidelines for the management of NCDs during the COVID-19 pandemic and future pandemics. The outcome of the review will increase awareness of healthcare professionals, policy makers, and other key stakeholders. It will also enhance further collaboration among research, surveillance systems, and technological advancement to develop new advanced diagnostic tools and to set up policies that deal with the silent pandemic of the dual burden of NCDs and infectious diseases in Africa."}
+{"text": "Chronic stress has far-reaching consequences on brain circuits, behavior, and mental health, often leading to abnormal behavior and psychiatric disease. The repercussions of chronic stress affect society as a whole, placing undue strain on the economy and increasing the risk of catastrophic events in communities with easy access to firearms. Developing innovative treatments and preventative measures for stress-induced abnormal behavior requires a more comprehensive understanding of how chronic stress impacts the brain.Neuroplasticity, the process of brain modification at the cellular and circuit levels, has traditionally been associated with learning and memory. However, recent research reveals its role in altering innate and adaptive behavioral responses, especially those influenced by stress. By inducing plasticity within specific brain circuits, many chronic stress-related effects can be mitigated.This Research Topic delves into the complex relationship between chronic stress, neuroplasticity, and abnormal behavior. It features original research and review articles that employ novel tools, pharmacological approaches, and various animal models to investigate the potential of augmenting plasticity within brain circuits as a means of treating symptoms caused by chronic stress. Topics span early life stress, synaptic remodeling, and epigenetic factors that increase susceptibility to stress-induced abnormal behavior.This Research Topic adopts an interdisciplinary approach, combining research from various disciplines to provide a comprehensive and multifaceted understanding of the relationship between chronic stress, neuroplasticity, and abnormal behavior.Shi et al. investigates the effects of direct and indirect stress on synaptic plasticity in the anterior insular cortex (aIC) using an observational fear mouse model. The results provide insights into the changes in synaptic plasticity in the aIC after physiological and psychological stress and suggest that different types of stress may have different underlying mechanisms, which could aid in the treatment of stress-related disorders. This study highlights the importance of understanding how various forms of stress impact neural circuits and contribute to abnormal behavior, ultimately informing targeted interventions.Bartsch and Nordman focuses on understanding the early signs and deterioration of perceived fatigue in healthy middle-aged individuals to develop preventive strategies for chronic fatigue (CF) and chronic fatigue syndrome (CFS). By understanding fatigue development in middle-aged adults, the study aims to contribute to the establishment of countermeasures for CF and CFS. This research underscores the significance of early detection and prevention of fatigue-related disorders, which can have debilitating effects on individuals' quality of life and productivity.Putra et al. discussed how NMDA receptor antagonists, such as ketamine and memantine, have emerged as promising alternatives for treating aggressive behavior due to their quicker onset of action, fewer observed side effects, and potential to serve as long-lasting treatment options. However, their effects on aggression are highly dependent on dosage, context, and personal experience. A study in this Research Topic explores the complexities of these factors and their impact on the effectiveness of NMDA receptor antagonists in managing aggressive behavior. The findings emphasize the need for further research and careful consideration of individual factors to ensure the responsible use of these drugs and to maximize their benefits while minimizing potential risks.Ronan et al. investigated the impact of intracerebroventricular administration of corticotropin-releasing factor (CRF) and vasopressin (AVP) on extracellular serotonin release in the central nucleus of the amygdala (CeA), shedding light on potential mechanisms underlying stress-induced affective reactivity in humans. This knowledge may prove useful in understanding and treating stress-related psychiatric disorders, such as anxiety, depression, and posttraumatic stress disorder. By examining the neurochemical changes associated with stress-induced affective reactivity, this research advances our understanding of the complex relationship between chronic stress and mental health disorders.Lastly, This broad scope offers a more complete picture of the complex relationship between chronic stress and mental health, with promising implications for the development of novel therapeutic interventions and preventative measures for stress-related disorders.In vivo pharmacological manipulations enable targeted drug administration to the brain, while novel behavioral paradigms, such as the observational fear mouse model, allow for exploration of different stress types on brain circuitry. Assessments of individuals in highly social and stressful environments emphasize the importance of early detection and prevention. Direct manipulations of plasticity in live animal models offer targeted approaches to understanding stress-induced effects. Examining the consequences of pharmacological interventions for treating stress-related aggression provides insights into potential benefits and risks. These cutting-edge methods significantly contribute to ongoing efforts in developing innovative treatments and preventative measures for stress-induced abnormal behavior.The Research Topic features innovative methodologies to study the relationship between chronic stress, neuroplasticity, and abnormal behavior. This Research Topic's implications are significant, contributing to our understanding of chronic stress and its impact on mental health while pointing to novel therapeutic interventions for stress-related disorders. The featured studies explore various aspects of the complex relationship between chronic stress, neuroplasticity, and abnormal behavior. They examine the effects of stress on brain circuitry, neurochemical changes, and early signs of fatigue, as well as the potential of NMDA receptor antagonists to treat aggressive behavior. Collectively, these studies contribute to a holistic understanding of the impact of chronic stress on mental health and wellbeing.As our understanding of the relationship between chronic stress, neuroplasticity, and abnormal behavior deepens, we become better equipped to address the pressing challenges of mental health and support individuals and society as a whole in coping with the often devastating consequences of chronic stress.We hope this collection of articles serves as a catalyst for further research and collaboration among scientists, clinicians, and policymakers, driving the development of innovative and personalized interventions for those suffering from stress-related disorders. Together, we can work toward a future where the adverse effects of chronic stress are better understood, managed, and ultimately, mitigated. With continued research and collaboration, we can make strides in developing effective treatments and preventative measures for stress-induced abnormal behavior, improving mental health outcomes and the overall quality of life for individuals affected by chronic stress.All authors listed have made a substantial, direct, and intellectual contribution to the work and approved it for publication."}
+{"text": "The pituitary hormone, oxytocin (Oxt), is gaining more and more interest from researchers in neuroscience over the years. Such attention is due to the multitude of heterogeneous effects on neural circuits and pro-social behavioral responses that Oxt elicits through its receptor, the Oxt receptor (OxtR). Imbalances in the oxytocinergic system are implicated in neuropsychiatric diseases associated with altered socio-emotional competence , but also in some neurodegenerative diseases, such as Huntington's Disease and amyotrophic lateral sclerosis. Understanding the complex neurobiology of the oxytocinergic system in physiologic and pathologic conditions is a still open scientific challenge. The potentiality of Oxt to be used as a drug treatment further increases the need to extend, collect, and organize knowledge concerning this molecule.In this special issue, we feature an assortment of contributions exploring through different approaches and from multiple angles the specific effects exerted by Oxt in the brain. This collection expands and collects current understanding in the neurobiology of Oxt and will provide direction and guidance for future studies in this field.Manjila et al. integrated brain wide connectivity of Oxt neurons with OxtR expression in mice. Accordingly, they provided insights for three functional circuit-based modules across the whole brain, modulated by the Oxt. These modules regulate respectively (i) the internal state , (ii) somatic/visceral responses , (iii) cognitive responses . The specific effects of Oxt on the neurons of one of these circuit\u2014the learning and memory circuit, involving the hippocampal formation\u2014have been finely investigated in multiple studies, as review in Talpo et al. Variations in the oxytocinergic functional modulation of the different neurons in each hippocampal subregion appear to account for distinct information processing tasks exerted by each subregion, comprehensively summarized in this review.Oxt is widely released in the brain, exerting specific neuromodulation of each cerebral region. Borroto-Escuela et al. reviewed the existence of D2R-OxtR, OxtR-GHS-R1a, 5-HT2AR-OxtR, and 5-HT2CR-OxtR heterocomplexes. In line with this evidence crosstalk between Oxt and other neurotransmitters should be seriously considered.An additional element of complexity in the neuromodulation operated by Oxt is due to the presence in many brain regions of higher order G-protein coupled heteroreceptor complexes of the OxtR. Triana-Del Rio et al., Coccia et al., Chen et al. and Muscatelli et al. described different aspects of these pro-social behavioral responses elicited by the Oxt. Triana-Del Rio et al. summarized how Oxt signaling in the limbic network modulates social and stress/threat-related behaviors, starting from the description of the underling cellular and molecular mechanisms. Authors describe how these responses are especially important in the interactions with conspecifics. Coccia et al. extended this concept by explaining the importance of empathy in social decision-making to survive in social environment. Indeed, Oxt modulates some of the major components of social decision-making and is associated to empathy-like and pro-social behaviors in rodents. In the context of conspecific interactions, strong evidence of the role of Oxt is offered by the analysis of the parental caregiving behaviors of male mice, as discussed in the opinion paper by Chen et al. Referring to a recent paper by Kazunari Miyamichi's team was significantly downregulated in periodontitis tissues compared to control tissues, suggesting a potential role for oxytocin-related pathways in the development and progression of periodontitis. However, further research is needed to understand the underlying mechanisms and the correlation between the expression of these genes and the pathological stage of periodontitis.Additionally, The papers in this Research Topic provide insights into the neurobiology of Oxt in health and disease, spanning from the delineation of the pro-social role of Oxt, to the description of the effect of Oxt on specific brain networks, the clarification of crosstalk phenomena between Oxt and other neurotransmitters, the identification of the intracellular pathways activated by Oxt. Then, they provide an overview of the current body of knowledge about Oxt in the brain and highlight the many potentialities of research in this field. In this view, we hope that this Special Topic can stimulate further studies unraveling the missing pieces of knowledge in the mechanisms of oxytocinergic brain modulation, possibly accelerating the development of therapeutic strategies and drugs that use this molecule.All authors contributed to this editorial and approved the submitted version."}
+{"text": "The term \u201cbiological data\u201d refers to information derived from living organisms and their products. The unique characteristics of biological data make biological data management particularly challenging. Diverse biological research generates vast amounts of different types of big data, such as sequence data and protein structures, in a variety of research fields, including transcriptomics, genomics, proteomics, and metabolomics. The scale of biological data is growing exponentially due to rapid technological advances and declining prices for new technologies used to produce biological data. Biological information now plays an essential role in scientific progress. As such, it is very complex compared to other forms of data. The integrated analysis of different data types is attracting research interest these days.This issue contains an important article regarding a biological data repository in Korea by Lee et al. . Lee and his colleagues introduced a new biological data repository, the Korea BioData Station (K-BDS) for sharing biological data , GenBank, Protein Data Bank (PDB), and DNA Data Bank of Japan (DDBJ). These databases were built to share vast biological datasets and have played an important role in scientific research by storing, managing, and providing access to increasingly large datasets. The future of biological research is highly dependent on the proper use and management of data. However, the complexity of biological data and the unprecedented exponential rate of production present significant challenges in archiving, integrating, and translating big data.Despite the government's large-scale R&D investments in the field of biology, Korea has not previously taken active steps toward the establishment of a biological database. Recently, however, the Korean government officially announced a national strategy for sharing biological data generated with national R&D funding. The Korean government has funded the Korea Bioinformation Center (KOBIC) to develop a new data repository, the Korea Biodata Station (K-BDS).The K-BDS is a data repository for all types of data for biological research. It provides free access to various database resources to archive raw biological data and support research activities. The data structure of K-BDS uses international data standards and formats. The K-BDS will evolve through the optimization and automation of data submission, curation and analysis procedures, infrastructure upgrades for storing big data, and the migration and development of new tools and pipelines to support biological research. I hope that the K-BDS will become a centralized archive in Korea and support research activities in academia and industry around the world."}
+{"text": "The COVID-19 pandemic has had an unprecedented detrimental impact on mental health in people around the world. It is therefore important to examine factors that may buffer or heighten the risk of mental health problems in this context.The current study explores the buffering effects of different flows of compassion and the magnifying effects of fears of compassion on the impact of perceived threat of COVID-19 on indicators of mental health and psychosocial wellbeing.4057 adult participants collected from the general community population across 21 countries from Europe, Middle East, North America, South America, Asia and Oceania, completed self-report measures of perceived threat of COVID-19, compassion, fears of compassion, social safeness, loneliness, depression, anxiety, stress, posttraumatic stress and growth.Self-compassion moderated the impact of perceived threat of COVID-19 on depression, anxiety and stress, whereas compassion from others moderated the effects of fears of COVID-19 on social safeness. Fears of compassion moderated the impact of perceived threat of COVID-19 on psychological distress. Only fears of compassion from others moderated the effects of fears of COVID-19 on social safeness. Furthermore, social connection predicted higher post-traumatic growth and traumatic stress, whereas social disconnection (fears of compassion and loneliness) predicted increased traumatic symptoms only. Social connection heightened the impact of perceived threat of COVID-19 on post-traumatic growth, while social disconnection weakened this impact. Social disconnection magnified the impact of the perceived threat of COVID-19 on traumatic stress. The effects were consistent across countries.Our findings highlight the universal protective role of compassion and social connection in promoting resilience and buffering against the harmful effects of the COVID-19 pandemic on mental health and psychosocial wellbeing. Furthermore, our results reveal that fears of compassion have a magnifying effect on the damaging impact of the COVID-19 pandemic on mental health.None Declared"}
+{"text": "Post-Traumatic Stress Disorder (PTSD), with prevalence of 14%, causes disability and burden to the person, his/her close environment and whole society due to, among other factors, interruption in a range of daily life activities. To date little research was done to delineate comprehensive patterns of daily life participation among people with PTSD. Despite extensive research, our understanding of factors affecting the participation in PTSD is limited, given that relief in the PTSD symptoms does not guarantee returning to satisfying daily life activities.Investigate objective and subjective participation dimensions among individuals with PTSD in comparison to healthy controls; and explore the impact of personal and illness-related factors, body functions and environment on the participation in PTSD.Sixty two individuals with PTSD and matching by age and gender healthy controls participated in this cross-sectional study. They completed standard assessments for PTSD symptoms severity, general cognitive profile, executive functions (EF) based on self-report and performance, sensory processing, self-efficacy, capacity to perform everyday activities, environmental properties, and actual participation in daily life in objective and subjective dimensions.The participation was found to be inferior in PTSD in the following dimensions: number of activities, participation frequency, and enjoyment , and experienced low meaning within the participation. Number of participated activities was correlated with self-reported EF , and environment properties . Frequency of participation was associated with self-reported EF . In addition, number of activities, frequency and experience of meaning were inferior in those who reported on avoidance from sensory stimuli in daily life . PTSD symptoms severity was not correlated with the participation .The restriction in both objective and subjective dimensions of participation in PTSD raises major concern given the profound effect of participation on well-being, and individual and community burden. The study reveals unique patterns of association between the participation indices and personal and illness related factors in PTSD, suggesting that objective factors are of less impact in comparison to subjective ones; and aspects of cognitive and sensory regulation as well as environment are of particular importance for participation. This pilot study demonstrates a need for further research to expand our knowledge in the field with the ultimate goal of contributing to well-being and health of individuals with PTSD.None Declared"}
+{"text": "A meeting, sponsored by the Bill and Melinda Gates Foundation (BMGF) and organised by Clinglobal, was held at The International Livestock Research Institute (ILRI) in Nairobi, Kenya, from 19th\u00a0\u2013\u00a0to 21st\u00a0October 2022. The meeting assembled a unique group of experts on tick control in Africa. Academia, international agencies (FAO and ILRI), the private Animal Health sector and government veterinary services were represented. The significant outcomes included: (i) a shared commitment to standardisation and improvement of acaricide resistance bioassay protocols, particularly the widely used larval packet test (LPT); (ii) development of novel molecular assays for detecting acaricide resistance; (3) creation of platforms for disseminating acaricide resistance data to farmers, veterinary service providers and veterinary authorities to enable more rational evidence-based control of livestock ticks. Implementation of enhanced control will be facilitated by several recently established networks focused on control of parasites in Africa and globally, whose activities were presented at the meeting. These include a newly launched community of practice on management of livestock ticks, coordinated by FAO, an African module of the World Association for the Advancement of Veterinary Parasitology (WAAVP-AN) and the MAHABA initiative of Elanco Animal Health. Ticks and tick-borne diseases significantly constrain livestock production globally, especially in Africa . The ecoRhipicephalus microplus is the most important ixodid tick species causing mortality or morbidity in livestock, multiple tick species transmit additional major livestock pathogens through sub-Saharan Africa. These include East Coast fever (ECF), caused by the protozoan parasite Theileria parva, which is transmitted by the tick Rhipicephalus appendiculatus, and heartwater, caused by the rickettsial pathogen Ehrlichia ruminantium and transmitted by several species of ticks in the genus Amblyomma [In contrast with other regions where mblyomma .R. microplus, originating from Southeast Asia.Ticks and tick-borne diseases in Africa have become increasingly severe because of the introduction of the invasive one-host tick,\u00a0Rhipicephalus microplus is now well established in tropical and subtropical regions, including Latin America, Australia and, more recently, Africa. The economic importance of this tick species results from its capacity to transmit the highly pathogenic protozoans Babesia bovis and B. bigemina and the rickettsial pathogen Anaplasma marginale. After introduction of R. microplus to Madagascar in 1959, the tick spread to South Africa and Tanzania, frequently displacing the indigenous \u2018blue tick\u2019 Rhipicephalus decoloratus, notably in Tanzania [R. microplus was introduced twice to West Africa (Benin and Cote D\u2019Ivoire) from Brazil [R. decoloratus in that country, [Rhipicephalus annulatus and R. geigyi (unpublished data). Data from Kenya similarly suggest R. microplus has displaced R. decoloratus from the coastal region [Tanzania . More rem Brazil , 5 and hcountry, and possl region .Given the absence of alternative control measures, the application of acaricides for tick and tick-borne disease control remains the main practical option. Several recent publications have reviewed the status of acaricide deployment and resistance in Africa together with the perceptions of livestock keepers regarding ticks, tick-transmitted diseases and control methods \u201311.However, as in other continents, resistance to the major classes of acaricides, synthetic pyrethroids, organophosphates, amidines and macrocyclic lactones , 13 has The goals of the meeting were to review the current knowledge relating to the prevalence of acaricide resistance in sub-Saharan Africa; learn from the progress of ongoing tick control initiatives; review updated protocols for standardisation of existing acaricide resistance diagnostics and assess the potential value of novel assays. There was also a discussion on enhancing the dissemination of accrued knowledge to farmers and national veterinary institute staff through digital and direct platforms for engagement with multiple clients .R. appendiculatus, which transmits T. parva (causing East Coast fever in cattle), and the recently introduced R. microplus, transmitting highly pathogenic B. bovis and A. marginale to livestock, particularly cattle. He reviewed the current techniques for acaricide resistance diagnosis, in particular the larval packet test (LPT) and adult immersion test (AIT). These are currently relatively expensive and require a network of laboratories with the expertise and resources to perform them. Doctor Vudriko further highlighted additional dimensions of the acaricide resistance problem, including lack of resources, appropriate infrastructure and government extension services, leading to the suboptimal application of acaricides, and even crop pesticides instead of acaricides. Maria Tumwebaze, also of the RTC unit, presented data generated using the LPT and adult immersion test (AIT), indicating that resistance occurs among all three major classes of acaricides that are currently widely marketed in Uganda: synthetic pyrethroids, organophosphates and amidines.The keynote presentation was given by Dr Patrick Vudriko, Director of the RTC at Makerere University in Kampala, Uganda. He emphasised issues constraining efficient tick control and detecting acaricide resistance in Uganda and other countries in the region. His major emphasis was on the mitigation of resistance to Thomas Bazarusanga of ACRE Africa confirmed that resistance, as indicated using LPT, is also present against multiple acaracide types in Rwanda, with Amitraz being the most frequently implicated product . As in Uganda, suboptimal application of acaricides was observed as well as the use of unsuitable crop pesticides. Doctor Bazarusanga\u2019s key recommendations for improvement of acaricide resistance surveillance (ARS) and the agencies with responsibility for this in Rwanda were summarised as enhanced extension services (RAB), enforcement of regulation at Rwanda Food and Drugs Authority (RFDA) and Licensing of Agrovet attendants from Rwanda Council of Veterinary Doctors (RCVD).Amblyomma variegatum and R. microplus, and the main techniques used for assessment are LPT, AIT and larval immersion test (LIT). Maps were presented showing the geographical distribution of resistance within the region. For R. microplus, resistance in the field has been confirmed using the LPT in Burkina, Faso, Cote-D\u2019Ivoire, Togo, Mali and Benin. As in Rwanda, Amitraz is the most frequently used product . Unlike East Africa, acaricide application in West Africa is primarily by brushing, rather than spraying, using backpacks, which may result in differences in the evolution of acaricide resistance between East and West Africa.Abel Biguezoton of CIRDES summarised the current situation regarding ARS for eight countries in West Africa. In this region, the major tick species of economic importance are R. microplus at the Kenyan coast. ILRI provides assay backstopping through quality control, training and, in future, the supply of reference susceptible tick strains. Trials of a similar collaboration between a dedicated centre of excellence, specifically the RTC at Makerere, and the District Veterinary Office of Kiboga, Uganda, were presented by Timbiira John Bosco, the regional DVO. Veterinarians were trained in tick collection, and subsequent analysis at RTC used the adult immersion technique (AIT).Doctor Naftaly Githaka of ILRI provided a preliminary example of how diagnostic assays for acaricides could be integrated into the programmes of departments of veterinary services (DVS) in Africa through his work on acaricide-resistant R. microplus but can be adapted for organophosphates and amidines. Although the most widely adopted assay, it is a lengthy undertaking involving field sampling followed by six weeks in a specialised laboratory, because of the requirement to generate larval ticks from engorged adults. Professor Frans Jongejan of FAO summarised the history of the test and its application in Africa. The LPT was originally described and adopted in 1960s [The LPT remains the gold standard assay for evaluating acaricide resistance phenotypes in ticks. It has primarily been applied to diagnosing acaricide resistance to synthetic pyrethroids in in 1960s and the in 1960s as an alThe two principal resistance mechanisms are metabolic resistance, associated with the enhancement of the detoxification enzyme system, or target-site resistance, associated with modification of the binding site of the acaricide. The tick proteins targeted by the most widely used acaricides are relatively well characterised. They are usually part of the nervous system and Single Nucleotide Polymorphism (SNP) at the target site have been correlated with resistance. The primary target sites for synthetic pyrethroids are the voltage-gated sodium channel; for organophosphates, the acetylcholinesterase receptor; and for macrocyclic lactones, the GABA-gated sodium channels. In the case of formamidines, which are Octopamine receptor agonists, the picture is the most complex, the octopamine/tyramine receptor contains SNPs implicated in resistance, but other genes, such as monoamine oxidases and ATP-binding cassette transporters, are also suspected targets. Professor Christine Maritz-Olivier presented the genetic complexity underpinning acaricide resistance phenotypes\u00a0as shown in\u00a0Table R. microplus isolates from Africa and North and South America, Clinomics has developed a preliminary PCR-based assay for field detection of synthetic pyrethroid resistance in R. microplus. Dr Francois Maree presented the assay details and coordinated a practical demonstration for workshop participants. The current objective of the project is to show proof of concept for a field-applicable assay capable of providing rapid diagnosis of the presence of markers for acaricide resistance. The approach has the potential for multiplexing, incorporating additional targets for other acaricide classes in a format that may be used to support conventional bioassays in the future\u00a0Fig. Based on sequence data derived from acaricide-resistant and susceptible The MAHABA programme , managed by Elanco Animal Health and GALVmed and supported by BMGF, was presented by Dr Chandra Bhushan. The MAHABA programme is intended to deliver a practical strategy for managing ticks and the impact of tick-borne disease and to equip small-scale producers in Uganda and Nigeria with the necessary tools (acaricides) and knowledge to realise livestock productivity gains. This represents a significant advance relative to companies maximising acaricide sales without corresponding client engagement.https://virtual-learning-center.fao.org/mod/page/view.php?id=7392).Doctor Ayo Majekodunmi (WAAVP-AN co-chair) and Dr Weining Zhao (FAO) presented details on developing regional and global networks to support future research and guidelines for tick control. The WAAVP-AN is an African network of experts in veterinary parasitology. It is intended to improve knowledge on veterinary parasites as well as communication and networking on parasitology in Africa. Recently, FAO has established a global Community of Practice that will underpin the development of a new set of guidelines on acaricide resistance and the management of livestock ticks which can be accessed at to central laboratories and validate the results with LPT and future molecular tests. LTT could be a transition bioassay until the molecular tests are fully developed and validated.Improved data collection and centralised management to improve mapping and the dissemination of information to farmers, veterinary services and policymakers.Continued refinement of field-based molecular assays to increase the number of markers, acaricide classes and tick species which the assay can support.Evaluation of integrated control, including evidence-based implementation of acaricide rotation and combination strategies.Organisation of follow-up meetings with inclusive African country coverage, involving veterinary authorities and research organisations, to review resistance data in more detail and develop country-specific or regional models for implementation of acaricide resistance surveillance.Additional priorities:R. microplus within the continent and the reliance on acaricides to control this tick. This initial meeting of multiple experts highlighted the potential to deploy technical and knowledge-based solutions to mitigate the acaricide resistance problem in African livestock ticks and the role of recently implemented networks in catalysing this process.Acaricide resistance is widespread in Africa, and the impact on the control of ticks and tick-borne diseases has severe implications for farmer\u2019s livelihoods. Multiple laboratories have confirmed the detection of resistance to all widely deployed classes of chemical acaricides. Furthermore, the problem is increasing because of the rapid spread of"}
+{"text": "Therefore, the indiscriminate administration of fluids to allpatients with hemodynamic instability, in addition to not obtaining the possiblebenefits induced by the increase in cardiac output, has the potential to aggravateorgan dysfunctions, since the excess of fluids, represented by the accumulatedhydric balance, is an independent factor for an increase ICU length of stay,duration of mechanical ventilation, probability of acute kidney injury andmortality.-4Despite the different methodologies and definitions in the literature, the mostaccepted concept of fluid responsiveness (FR) is an increase in cardiac outputgreater than 10-15% induced by an increased preload. Thus, volume expansion is theinitial measure most frequently used to optimize tissue perfusion in ahemodynamically unstable patient. However, the prevalence of FR in the intensivecare unit (ICU) is approximately 50%. , in turn, is the ability of the body to receive an infusion offluids without progressing to organ dysfunction . PossiblThus, the combined evaluation of FR and FT is of fundamental importance in themanagement of hemodynamically unstable patients because the absence of FT, even in afluid responsive patient, can mitigate any benefit induced by volume expansion andeven aggravate or cause new organ dysfunctions.Considering the presence or absence of FR and FT, there are four hemodynamicprofiles:- A: FR present and FT present.- B: FR absent and FT present.- C: FR absent and FT absent.- D: FR present and FT absent.Depending on the hemodynamic profile in question, it is possible toindividualize, the most appropriate approach for hemodynamic resuscitation for agiven hemodynamically unstable patient, with the objective of preventing and/orreversing organ dysfunction .The following are basic principles:- Volume administration should not be performed in the absence of FR (profiles Band C). In the absence of FR and FT (C profile), the need for de-resuscitationshould be assessed. Fluid administration in a fluid tolerant patient but withoutFR criteria (profile B) can lead to the loss of FT, with the risk of newhypervolemia-induced organ dysfunction, thus requiring conservative managementwith regard to the administration of fluids.- In the presence of FR, volume administration with the greatest potentialbenefit and lower risk of inducing or worsening organ dysfunction will be in theconcomitant presence of FT (profile A).- In the presence of FR and absence of FT (profile D), volume administrationshould take into account the potential for inducting and/or aggravating organdysfunction, and early initiation of vasoactive drugs should be considered.Fluid tolerance should be evaluated in two different compartments; left,considering the left heart chambers filling pressures and the degree ofpulmonary congestion; and right, assessing the right heart chambers fillingpressures and the degree of fluid overload in the systemic venouscompartment.Static measures of filling pressure in right and left cardiac chambers, such ascentral venous pressure (CVP) and pulmonary artery occlusion pressure (PAOP),depend on the interaction between venous return function and ventricularfunction, and are also influenced by increases in intrathoracic pressure insituations such as pneumothorax, cardiac tamponade and the use of positiveend-expiratory pressure (PEEP). Therefore, they have a limited role in theidentification of FR and volemic status; however, extremely low values (<6mmHg) increase the probability of FR. On the other hand, high values (CVP >12mmHg and PAOP > 18mmHg) may indicate a low FT capacity in certain clinicalcircumstances and are associated with an increased risk of peripheral edema,ascites, pulmonary edema, renal and hepatic dysfunction. In addition, themeasurement of these variables requires the use of invasive devices, such as acentral venous catheter for CVP and a pulmonary artery catheter for PAOP.Hemodynamic monitoring by transpulmonary thermodilution may assist in theevaluation of FT, especially on the left compartment, using variables such asglobal end-diastolic volume (GEDV), extravascular lung water (EVLW) and thepulmonary vascular permeability index (IPVP), and is useful in the differentialdiagnosis between inflammatory and hydrostatic alveolar-interstitial syndrome.Despite being a less invasive tool than a pulmonary artery catheter, theinsertion of central venous and arterial catheters is required and has high costlimiting its availability in most intensive care units. and the evaluation of left ventricular fillingpressures, as assessed by the relationship between the E wave and the A wave ofthe transmitral flow on pulsed Doppler and the E wave over the E\u2019 wave on tissueDoppler, help in the evaluation of left FT. Venous excess ultrasound score(VExUS) takes into account the diameter of the inferior vena cava and the venousflow pattern on Doppler ultrasound in the portal, suprahepatic and intrarenalveins ( and may be useful instrategies of resuscitation and management of ultrafiltration in patients onhemodialysis,(11.being an interesting tool for the evaluation of right FT (Point-of-care ultrasonography is becoming increasingly available in ICUs, withthe potential for wide application for evaluation of both left and right FT. Theestimation of EVLW using lung ultrasoundalveins , shows aright FT .The growing evidence in critically ill patients of aggravation of organ dysfunctionrelated to fluid overload implies that hemodynamic evaluations should advance beyondfluid responsiveness and begin to encompass fluid tolerance. The coordinatedevaluation of these two variables has the potential to prevent and reverse acuteorgan dysfunction and assigns a new obligation to intensivists: fluidresponsibility."}
+{"text": "Evidence-Based Quality Improvement (EBQI) involves researchers and local partners working collaboratively to support the uptake of an evidence-based intervention (EBI). To date, EBQI has not been consistently included in community-engaged dissemination and implementation literature. The purpose of this paper is to illustrate the steps, activities, and outputs of EBQI in the pre-implementation phase.The research team applied comparative case study methods to describe key steps, activities, and outputs of EBQI across seven projects. Our approach included: (1) specification of research questions, (2) selection of cases, (3) construction of a case codebook, (4) coding of cases using the codebook, and (5) comparison of cases.The cases selected included five distinct settings , seven EBIs and five unique lead authors. Case examples include both community-embedded and clinically-oriented projects. Key steps in the EBQI process included: (1) forming a local team of partners and experts, (2) prioritizing implementation determinants based on existing literature/data, (3) selecting strategies and/or adaptations in the context of key determinants, (4) specifying selected strategies/adaptations, and (5) refining strategies/adaptations. Examples of activities are included to illustrate how each step was achieved. Outputs included prioritized determinants, EBI adaptations, and implementation strategies.A primary contribution of our comparative case study is the delineation of various steps and activities of EBQI, which may contribute to the replicability of the EBQI process across other implementation research projects. The conThe combination of community-engaged research and D&I, termed community-engaged dissemination and implementation (CEDI) research, reflects the intersection of community-partnered research in implementation research design, methods, and dissemination . The ovebest available research evidence at all stages of the process, from the \u201cdiagnosis\u201d of performance issues to the development and tailoring of implementation strategies . QI aims to improve local multi-level processes and outcomes by using data from the local context, local expert input and opinions, and local multi-disciplinary teams . A revierategies , and in rategies . Specifirategies and selerategies .deliberative, partnered, and evidence-driven process to inform the selection and tailoring of implementation strategies and EBI adaptations. This definition of EBQI reflects a conceptualization that EBQI would fit under the umbrella of more global approaches to research and could be operationalized with other methods . We acknowledge that EBQI can be applied across all stages of implementation the formation of local teams to consider data on barriers and facilitators to implementation and (2) drafting, iterating, and planning a locally contextualized implementation strategy to increase uptake of an EBI . Additio(1)What steps do researchers accomplish using EBQI in practice?(2)How do researchers accomplish the steps of EBQI? That is, what activities are used to accomplish EBQI steps?The purpose of this paper is to illustrate the steps, activities, and outputs of EBQI in the pre-implementation phase as operationalized across seven projects to illustrate common elements and variations in application of EBQI . This go2.To identify key steps, activities, and outcomes of EBQI methods, we retrospectively examined a set of seven case examples of EBQI application in research projects. Specifically, our goal was to use case examples to create a holistic description of EBQI and capture how each case selected and tailored implementation strategies and/or made EBI adaptations that would be subsequently tested in a research study . We applNatural variation and overlap in the cases were a key interest. Specially, cases were purposively included to maximize variation in the E2.1.The research team developed a case codebook to collect a standard set of information for each case and coded each case using this codebook. This codebook included basic features of the EBQI process , the progression of EBQI meetings, and activities that were used at each meeting. Using the codebook, the lead investigator for each case extracted details of their respective projects. When needed, the lead author solicited additional information or clarification from investigators. This directed template analysis approach allowed 3.The team completed a cross-case analysis to identify similarities, differences, and the range of steps, activities, and outputs across cases. We used this comparison to generate a list of the key steps of EBQI and corresponding examples of activities to accomplish each step. Cases were examined and compared for key basic features including the number of EBQI meetings held, types of partners included, and modality of meetings. Included case studies ranged in the number of meetings from 2 to 5 , 27, 31.Commonalities and variations across case studies suggest basic steps that are core to EBQI in the pre-implementation phase; these are presented in https://www.liberatingstructures.com/), live editing of documents], illustrating the flexibility of activities to achieve multiple purposes.The activities taken to achieve these steps were diverse See . Each stWe have expanded on the Swindle case to 4.This perspective examined 7 case studies of the application of EBQI in the pre-implementation phase. Comparison of cases suggested 5 common steps of EBQI to prepare for implementation. These steps cut across the variety of settings and EBIs included in our case examples, which illustrates the widespread applicability of these steps. For each step, we identified several activities. That is, various activities were used across the cases to achieve each step. The diversity of activities identified illustrates how each step may be achieved depending on the context and needs of the project. Commonly, the steps identified led to prioritized determinants of implementation, adaptations for EBIs, and fully specified implementation strategies ready for testing. As such, the primary contribution of our perspective is the delineation of steps and activities of EBQI, particularly when used as a deliberative, partnered, and evidence-driven process to inform the selection and tailoring of implementation strategies and EBI adaptations prior to implementation. Thus, our work answers a recent call to provide transparency and detailed descriptions for the process of tailoring in implementation science .Ultimately, the process of EBQI identified in included cases expands on steps of the EBQI model as laid out by early users . The 5 chow to move through EBQI in the pre-implementation phase. Key to many of our activities and an important recommendation for future application of EBQI is the inclusion of end users, which was present in 6 of our 7 cases. Other authors have made a compelling case for the importance of participatory approaches for optimizing fit of EBIs within context (Within each EBQI step, we identified several activities. This illustrates a non-exhaustive catalogue of options for context , address context , and adv context . Our cas context .Notably, EBQI has historically been and continues to be used beyond the pre-implementation phase. Work by Hamilton and colleagues illustraWe believe EBQI used at any phase of implementation is an example of quality CEDI work and fits with other recommended CEDI methods . However"}
+{"text": "Elite athletes are continually subjected to a range of constraints specific to high performance, and these can have a negative impact on their health. Although many studies have explored the individual factors related to risky behaviors and disorders in elite sport contexts, and have provided prevention programs, few have focused on health promotion. Consequently, the interpersonal, institutional, and policy factors of the health-related behaviors of elite athletes are still poorly explored. Based on the socioecological model of health, this study aimed to identify the factors involved in the health-related lifestyle of elite athletes.Semi-structured interviews were conducted with 45 participants: athletes , their coaches and managers of elite sport centers . Interviews were audio recorded and transcribed verbatim. Both deductive and inductive thematic analyses were performed. This study was approved by the local Ethic Committee of the University.Our results highlight the different levels of factors related to the health-related lifestyle of elite athletes, using the socioecological model, as perceived by athletes themselves, coaches, and managers. Regarding intrapersonal factors, resilience qualities and health literacy appeared as key factors to influencing the health-related lifestyle of elite athletes. At the interpersonal level, parents and coaches were considered as the main sources of educational support. Regarding institutional factors, the health policies of the elite sport centers were key factors in supporting the athletes\u2019 healthy lifestyle. Similarities and specificities of the views of the different actors have been identified.These results show the interest of the application of the socioecological model in the elite sport domain. They encourage the development of health-promotion programs at different levels of intervention of the socioecological model, beyond traditional health prevention programs. In addition, this study suggests to consider the different perspectives of each actor to co-construct health promotion programs."}
+{"text": "The EuResist cohort was established in 2006 with the purpose of developing a clinical decision-support tool predicting the most effective antiretroviral therapy (ART) for persons living with HIV (PLWH), based on their clinical and virological data. Further to continuous extensive data collection from several European countries, the EuResist cohort later widened its activity to the more general area of antiretroviral treatment resistance with a focus on virus evolution. The EuResist cohort has retrospectively enrolled PLWH, both treatment-na\u00efve and treatment-experienced, under clinical follow-up from 1998, in nine national cohorts across Europe and beyond, and this article is an overview of its achievement. A clinically oriented treatment-response prediction system was released and made available online in 2008. Clinical and virological data have been collected from more than one hundred thousand PLWH, allowing for a number of studies on the response to treatment, selection and spread of resistance-associated mutations and the circulation of viral subtypes. Drawing from its interdisciplinary vocation, EuResist will continue to investigate clinical response to antiretroviral treatment against HIV and monitor the development and circulation of HIV drug resistance in clinical settings, along with the development of novel drugs and the introduction of new treatment strategies. The support of artificial intelligence in these activities is essential. Although a cure for HIV cannot be achieved with available antiretrovirals (ARVs), the last 25 years saw dramatic improvement in the prognosis and management of HIV infection, thanks to the use of multiple drugs from different antiretroviral classes ,2,3. IndAs longer periods of follow-up data have become available, the clinician\u2019s attention has shifted towards treatment tolerability and durability. Nevertheless, the impact of pre-existent drug-resistant mutations has remained a challenge in clinical practice, especially in PLWH exposed to suboptimal regimens in the first ART era . In addiIn 2006, a multidisciplinary group of scientists created the EuResist consortium to fight ARV resistance and obtained a grant by the European Commission under the 6th Framework Programme. The project integrated three existing national cohorts from Italy, Germany and Sweden to form a large dataset of clinical and virological information from around 17,000 PLWH, thus giving rise to the EuResist Integrated DataBase (EIDB). By modeling these data via statistical learning, the EuResist project delivered a clinical decision-support tool for predicting the best ART for specific PLWH by leveraging curated real-world data. The multicohort EuResist Network was established in 2008 as a follow-up of the EuResist project to manage the EIDB and the EuResist ART response prediction system. Currently, the EIDB is one of the world\u2019s largest datasets suitable for training genotype-centered treatment-response models. The EIDB collects information about pseudonymized demographic and clinical characteristics of PLWH, including antiretroviral therapies, reasons for treatment change, AIDS defining events, viral co-infections, CD4 + T cells counts, viral load measurements, and HIV sequences.Originally, the EIDB was developed by integrating biomedical information from the three founding nationwide databases: ARCA , AREVIR (Germany), and InfCareHIV at Karolinska Institute, Stockholm (Sweden). Following the initial setup, other centers became partners of the EuResist Network and provided biomedical data to the EIDB. Most of these remain active contributors, together with the three founders; at time of writing, this includes: the Instituto de Higiene e Medicina Tropical ; the IrsiCaixa Foundation (Spain); the Laboratoire de R\u00e9trovirologie of CRP-Sant\u00e9 (Luxembourg); the Gamaleya Institute of Virology (Russia); the Koacaeli University Medical Faculty (Turkey); and the CoRIS cohort (Spain). Additionally, data from the Rega Institute (Belgium); the National Referral Laboratory of Rwanda; the DUET study conducted by Tibotec; and the Resist study conducted by Boehringer Ingelheim, from the Infectious Diseases, AIDS and Clinical Immunology Research Centre of the State Institution Centre Public Health Ministry of Health of Ukraine and from the Infectious Diseases AIDS and Clinical Immunology Research Centre (IDACIRC) of Georgia were integrated in the past . https://www.euresist.org/eidb accessed on 31 March 2022). Data integrity and updating have been ensured for the last 15 years and onwards through an iterative process of data cleansing and periodical refresh from the contributing centers. The key uses of the EIDB have included the training of a machine-learning-based engine assisting treatment choices and providing curated datasets for specific studies, focusing on HIV variability, treatment, and drug resistance [The EIDB is updated twice a year with new data from the contributing centers by using import routines maintained centrally by the EuResist IT staff. Currently, it contains data from 105,903 PLWH, contributing 102,851 viral sequences, 248,249 treatment regimens, 1,451,753 viral load measurements and 1,486,295 CD4 cell counts A. The masistance .The objective of this manuscript is to offer an overview of the main contribution provided by the EuResist multicohort initiative in the fight against HIV drug resistance during the last 15 years, based on the efforts of many researchers from different European countries.The EuResist Network complies with the General Data Protection Regulation (GDPR) and all applicable laws, rules and regulations, with particular reference to ethical issues concerning the collection of data belonging to HIV patients and the relative manipulation and sharing procedures. All the data contributors to the EIDB certify that: the data collection was approved by the local ethics committees in agreement with local requirements and written informed consent was obtained from all patients before participation when necessary; the procedures are performed under the guidance and responsibility of the contributing centers; personal data are lawfully processed and may be contributed to the EIDB for scientific purposes on the basis of the data subject\u2019s consent or another legal basis valid under the GDPR (art. 6 and art. 9).This study is performed in accordance with the ethical principles of the Declaration of Helsinki and the Good Clinical Practice guidelines of the International Conference on Harmonization.Data are securely stored in Italy. They contain sensitive human subject information and cannot be shared publicly because of privacy issues. Data are available under request to the EuResist Scientific Board, comprising all the data controllers. The EuResist Network has received research grants from the European Commission and unrestricted research grants from the following pharmaceutical companies: Abbott, Janssen Tibotec, Gilead Sciences, Merck Sharp and Dohme, Pfizer, Theratechnologies, and ViiV Healthcare. Neither the companies nor the patients had any role in the design, recruitment, or conduct of the studies.The emergence of antiretroviral drug resistance has long been a leading cause of treatment failure in PLWH. Particularly, before the advent of compact, high-genetic-barrier cART, the development of drug resistance was almost inevitable at some point in time. Thus, strategies for delaying the onset of resistance, preserving treatment options and avoiding cross-resistance were typically aided by algorithms interpreting HIV genotype. While these systems were mostly based on expert reviews of the literature, the EuResist consortium proposed a novel approach for predicting the in-vivo efficacy of antiretroviral drug regimens against a given virus isolate, based on statistical learning from a large amount of data correlating virus genotype and patient data on treatment response in clinical practice. vs human Experts) study in which 25 complete patient histories were provided to a panel of 10 global top experts in HIV drug resistance, who had to indicate whether the next ART regimen used would be effective or not. The EuResist system outcompeted nine of the experts in accuracy and equaled the most proficient one, demonstrating the strength and feasibility of the approach in a real-world simulation [Based on the analysis of the EIDB data, different predictive models have been developed over the years. In 2008, the first machine-learning engine was reported, which combined three models as follows: (a) generative-discriminative method, (b) regression with derived evolutionary features and (c) regression with a mixture of effects. The engine demonstrated an increase in the accuracy of prediction when taking into account clinical information and demographic factors in addition to genotypic information [mulation . In 2010, Bogojeska et al. developehttps://hivdb.stanford.edu/ accessed on 10 April 2023) provides an impressive number of options for querying a curated HIV sequence database derived from published HIV sequences, with novel features and services released on a regular basis.It must be noted that, despite considerable efforts to improve the algorithms for prediction of response to ART, the increase in accuracy with respect to standard systems based only on the interpretation of HIV genotype has been limited. Factors impeding higher benefits by applying advanced statistics have not been identified but likely include the sparse representation of data in the training datasets and the complete lack of data on one major determinant of response to treatment, namely adherence to therapy. Moreover, the gain in accuracy comes at the cost of additional data to be input into the system\u2014something that most doctors are reluctant to do. Additional bottlenecks for the transition from simple to improved yet more-complex methods include the lower degree of human interpretability of the latter and the globally decreased impact of drug resistance in modern ART . As a maThanks to the continuous and longitudinal accumulation of viral sequences and patient data, the EIDB has offered a tremendous opportunity to monitor the selection and spread of transmitted and acquired resistance-associated mutations (RAMs), the circulation of different viral subtypes, and their impact on treatment outcome, most often as measured by changes in viral load. In more recent years, non-B subtypes have become endemic in the European population, likely due to human migration from non-B areas. This may have had an impact on the global picture of drug resistance since most non-B areas have been characterized by a different coverage of ART regimens and consequently different patterns of emergent drug resistance. This effect has been later diluted and will continue to be diluted by the harmonization of ART regimens, particularly those based on high-genetic-barrier regimens, significantly limiting drug resistance and failure.A key issue in HIV drug resistance is the prevalence and incidence of multidrug resistance, resulting in an extensive loss of treatment options and the inability to control virus replication and halt disease progression. Two EuResist studies have shown a declining trend of resistance to the four main classes of ARVs, including protease inhibitors (PI), nucleoside (NRTI) and non-nucleoside (NNRTI) reverse transcriptase inhibitors, and integrase strand transfer inhibitors (INSTI). The first study analyzed viral sequences collected from 3414 individuals with at least 1 genotype test result available between 2008 and 2019 and found that high-level resistance to at least 1 drug in each of the 4 main ARV classes declined from 5.6% in 2008 to 2.4% in 2018, with only 2.5% of the patients accumulating four-class resistance over time . NotablyThe studies conducted by Lapokov et al. and NeshA recent study conducted by van de Klundert et al. showed, Over the years, the EIDB was used to explore the clinical impact of specific RAMs. For example, Theys et al. observedInspired by the updates of the international HIV treatment guidelines, the EuResist Network explored the real-world effectiveness of different treatment strategies. Understanding and predicting treatment efficacy and duration of effectiveness, i.e., how long an antiretroviral therapy can be sustained without changes, even in the presence of pre-existing RAMs, has become an important challenge in the context of addressing HIV treatment optimization. For example, the analysis of the EIDB data suggested that the efficacy of the innovative dual-drug strategy combining the NNRTI etravirine with the ritonavir-boosted PI darunavir was comparable to that of alternative regimens where etravirine was coupled with an alternative boosted PI . In 2019More recently, two studies explored the effectiveness and discontinuation rate of INSTI, a key component of most current ART regimens. Among 2976 INSTI treatments started by na\u00efve PLWH, elvitegravir- or dolutegravir-based first-line antiretroviral treatment was highly effective in routine practice across Europe, even in the presence of transmitted drug resistance for the accompanying NRTIs. However, the rate of INSTI discontinuation was much higher than the rate of virological failure . InteresAnother study by Miranda et al. investigThe EuResist Network has been collaborating with other non-European cohorts and global initiatives to investigate HIV-resistance-related issues, particularly in low-income countries. From 2010 to 2013 it participated in the ENEAA project (EDCTP JP.2009.10800.002), coordinated by Karolinska Institut and involving the Addis Ababa University, Ethiopia; the Muhumbili hospital, Dar-es-Salaam, Tanzania; and the World Friends Hospital, Nairobi, Kenya, integrating training activities and IT infrastructures to improve capacities in the eastern African area. The TenoRes collaboration included data from adult HIV treatment cohorts and clinical trials in Europe, Latin and North America, sub-Saharan Africa, and Asia. Among 1926 PLWH enrolled after virological failure with first-line tenofovir-containing ART, HIV drug resistance was detected in an alarmingly high fraction of cases, strengthening the need for the surveillance of transmitted drug resistance . AnotherThe EIDB can be accessed upon formal request by scientists aiming at investigating HIV treatment and drug-resistance-related topics. The EuResist Management Board processes requests in a reasonable time and asks the individual cohorts for permission to access the data for the specific study, which has to be well-defined and scientifically sound. EuResist encourages other clinicians and scientists, also from non-European countries, to collaborate for the advancement of knowledge on HIV drug resistance and treatment, and it is open for scientific studies. Karolinska Institutet ;Max Planck Gesellschaft (Germany);University of Siena ;InformaPRO s.r.l. ;Cologne University (Germany).EuResist Network is a non-profit European Economic Interest Grouping (EEIG) composed by:th Framework Programme (FP)), the EuResist Network participated in and guided several research projects funded by the European Commission, among which we can mention: CHAIN-Collaborative HIV and Anti-HIV drug resistance Network, a large scale integrated project ; CARE-Common Action against HIV-TB HCV across the Regions of Europe, ; and EuCARE-European Cohorts of Patients and Schools to Advance Response to Epidemics , where the focus moves to SARS-CoV-2 ad its variants.In addition to the already mentioned EuResist project (Grant n. IST-2004-027173, 6EuResist also runs dissemination and training activities. Further to the cited ENEAA EDCTP project, it offers training tools on its website; it participates in the annual ARCA Mentor School event, and has organized a EuResist Mentor School in Cologne in 2018 with the objective to bridge the gap between data science and medical/biological sciences.Since 2007, EuResist has contributed to the annual Arevir Meeting organized by the University of Cologne and Genafor, holding a EuResist session.The main strength of the EuResist Network is the inclusion of all PLWH followed at each of the participating centers, ensuring the full representativeness of the real-life setting, including individuals typically not enrolled in randomized trials due to, e.g., the presence of baseline drug resistance or past virological failures. The sample size of the cohort is also notable, with a total of 105,903 PLWH as of March 2022. Likewise, the geographic distribution of the participating centers is Europe-wide, with additional cases from Turkey, Russia, Ukraine, Georgia, and Rwanda. The observational, retrospective, and prospective multicohort design provides an extraordinarily large time span, with data collection starting as early as the late 1980s, translating into a unique opportunity to follow virus evolution and investigate very different treatment strategies across all antiretroviral treatment eras.The main limitation of the EIDB is that most contributing cohorts collect only routine clinical and viro-immunological data. Some data can be missing in the individual databases, making the overall data collection not uniform across areas and resulting in the exclusion of large datasets when specific variables are required. The lack of information on tolerability issues, adherence to ART, clinical non-AIDS-related events and concomitant medications make the cohort not suitable for many kinds of investigations. Lastly, although a semiannual update is planned, delays between local data collection and the availability of an updated centralized database often occur, postponing the possibility to study the most recent treatments, which are typically of maximum interest.The EuResist cohort was established with the purpose of developing a clinical decision-support tool predicting the most effective antiretroviral therapy for PLWH based on their clinical and virological data. Later, the cohort widened its activity to the more general area of antiretroviral treatment with a focus on virus evolution and drug resistance. Following its interdisciplinary vocation, EuResist will continue to investigate clinical response to antiretroviral treatment against HIV and monitor the development and circulation of HIV drug resistance in the clinical setting along with the development of novel drugs and the introduction of new treatment strategies. The support of artificial intelligence in these activities is essential."}
+{"text": "Dear Editor,A 33-year-old male patient presented with multiple erythematous-brown papules measuring 1 to 5\u00a0mm, disseminated on the upper limbs, trunk and thighs . DermoscHistopathology showed proliferated capillary vessels with dilated lumen A and mulAfter he was instructed about the condition, the patient chose not to undergo treatment for aesthetic purposes and returned after one year with spontaneous significant improvement in the number, pigmentation, and size of the lesions .Figure 5Multinucleate cell angiohistiocytoma is a rare benign fibrous histiocytic proliferation, described in 1985.Treponema pallidum infection. Another theory proposes that MCA arises under the influence of female hormones due to the identification of estrogen receptor alpha expression in the interstitial and multinucleate cells of lesions in several patients.Since the first description of MCA, several hypotheses have been proposed for its etiology and pathogenesis. Most authors believe it to be a reactive process and reports of spontaneous remission further support this hypothesis.Dermoscopy can show some similarities with dermatofibromas, such as whitish areas and a fine peripheral reticulated pattern. Diffuse reddish areas with blurred edges, which likely represent the characteristic vascular dilation, may also be found.Histopathology shows proliferation of dilated capillaries, fibrous stroma with thickened collagen bundles, and the presence of multinucleate giant cells. The overlying epidermis may be normal or hyperplastic. The presence of at least three of the described in the adequate clinical context is highly specific for MCA and allows differentiation from fibrous papule and dermatofibroma. The criteria considered for the diagnosis were: a) Presence of atypical and multinucleate fibroblasts with at least two nuclei; b) Presence of superficial parallel dermal fibrosis; c) Presence of thickened superficial papillary dermal vessels; d) Absence of perifollicular fibrosis.Regarding immunohistochemistry, the multinucleate cells are typically negative for factor VIII and CD34 and positive for vimentin and factor XIIIa. There is a positive correlation between CD68-positive expression of endothelial cells and lesion size, and an inverse correlation between CD68-positive expression on multinucleate cells and the development of multiple lesions.2 laser.The biological behavior of MCA is progressive in most cases, albeit benign, with spontaneous improvement being rare. Treatment can be carried out for aesthetic purposes. The currently available therapeutic options include topical or intralesional corticosteroids, surgical excision, cryotherapy, argon laser, intense pulsed light, and COTreponema pallidum infection and suspected by dermoscopic findings. Because it is rare, it is important that dermatologists and pathologists are able to recognize it for a better approach and to provide recommendations to the patient. Multiple treatment options are available to improve the aesthetic appearance, most of which are supported by case reports.In conclusion, the authors describe a rare case of MCA possibly triggered by None declared.Patricia Mayumi Ogawa: Design and planning of the study; drafting and editing of the manuscript; collection, analysis and interpretation of data; critical review of the literature.Maria Cristina Arci Santos: Approval of the final version of the manuscript; drafting and editing of the manuscript; collection, analysis and interpretation of data; effective participation in research orientation; critical review of the manuscript.Nilceo Schwery Michalany: Approval of the final version of the manuscript; collection, analysis and interpretation of data; intellectual participation in the propaedeutic and/or therapeutic conduct of the studied cases; effective participation in research orientation; critical review of the manuscript.Renato Shintani Hikawa: Approval of the final version of the manuscript; collection, analysis and interpretation of data; design and planning of the study; intellectual participation in propaedeutic and/or therapeutic conduct of studied cases; effective participation in research orientation; critical review of the manuscript.None declared."}
+{"text": "Reviews in ophthalmology 2022.\u201d This issue is dedicated to providing a comprehensive overview of the latest advancements, challenges, and future directions in the field of ophthalmology. As we navigate through the third decade of the 21st century, it is clear that our understanding of ocular diseases and their management has significantly evolved, driven by groundbreaking research and technological innovations.Welcome to the Research Topic, \u201cIn this Research Topic, we have compiled a series of reviews that delve into various aspects of ophthalmology, from the surgical management of corneal disorders to the genetic underpinnings of complex ocular diseases. These reviews provide a snapshot of the current state of knowledge, highlighting the strides we have made and the challenges that lie ahead.Each review in this Research Topic offers a unique perspective, reflecting the breadth and depth of research in ophthalmology. From exploring the effectiveness of different surgical techniques and treatment modalities to unravelling the genetic complexities of ocular diseases, these reviews represent the cutting edge of ophthalmic research.Reviews in ophthalmology 2022,\u201d we hope to foster a deeper understanding of the current landscape of ophthalmology, stimulate further research, and ultimately contribute to improving patient care. We invite you to delve into these insightful reviews, gain new knowledge, and join us in the ongoing quest to unravel the complexities of the human eye.As we present \u201cThe field of ophthalmology has witnessed significant advancements in understanding and managing ocular surface diseases. This Research Topic summarises recent research on various ocular conditions, including ocular graft-vs.-host disease (oGVHD), Dry Eye Disease (DED), Keratoconus (KC), paediatric keratoconus, pterygium, and Fuchs' endothelial corneal dystrophy (FECD).Salari et al. highlighted the effectiveness of superficial keratectomy (SK), a surgical procedure involving the manual dissection of the superficial layers of the cornea. The review emphasised the versatility of SK in addressing various ocular conditions, including corneal degenerations, dystrophies, scarring, recurrent corneal erosions, and retained corneal foreign bodies.Tappeiner et al. focused on the challenges and concepts in diagnosing and managing oGVHD, a condition characterised by tissue inflammation following allogeneic hematopoietic cell transplantation. The review underscored the importance of interdisciplinary treatment approaches to improve patients' quality of life and prevent potentially irreversible visual loss.Ling et al. discussed the increasing incidence of DED and the role of immune regulation defects in its pathogenesis. The review emphasised the need for anti-inflammatory drugs in treating moderate-to-severe DED and highlighted the potential of Traditional Chinese Medicine in managing the condition.Hao et al. provided a comprehensive analysis of the pathogenesis of KC, an aetiologically heterogeneous corneal ectatic disorder. The study identified several genes and pathways involved in the disease's development, offering an integrated insight into the gene-based aetiology and pathogenesis of KC.Li et al. conducted a meta-analysis comparing the efficacy of different corneal collagen cross linking (CXL) methods for paediatric keratoconus. The study concluded that standard epithelium-off CXL and accelerated epithelium-off CXL appear to be comparable in efficacy, with standard CXL providing greater changes in visual and pachymetric outcomes.Taher, Alnabihi et al. performed a systematic review and meta-analysis on the management of primary pterygium, a common ocular surface disease. The study confirmed the effectiveness of a single intraoperative topical application of 0.02% mitomycin C during excision of pterygium followed by conjunctival autograft in reducing the rate of pterygium recurrence.Tsedilina et al. conducted a systematic review of the role of variants in the genes SLC4A11, ZEB1, LOXHD1, and AGBL1 in the development of FECD. The study confirmed the causal role of SLC4A11 variants in FECD, but further evidence is needed to confirm the roles of ZEB1, LOXHD1, and AGBL1 variants.Lastly, In this Research Topic, we, also, explore the latest technological advancements, delve into the complex pathophysiological mechanisms, and discuss innovative therapeutic strategies that are shaping the future of retinal treatments.Ladha et al.'s exploration of subretinal therapy, we are introduced to the potential of robotic technology in enhancing the precision and standardisation of ocular gene and cellular therapy delivery. The authors highlight the limitations of manual delivery, including the risk of iatrogenic damage and variability in delivery. They also underscore the importance of understanding the immune response elicited by the introduction of exogenous viral vectors or transplanted cells to the eye. The use of microprecision medical robotic technology is proposed as a solution to these challenges, offering reproducible and standardised delivery independent of injection speed.Starting with Tang et al. provide a comprehensive review of the development of risk factors and cytokines in Retinal Vein Occlusion (RVO), the second most prevalent retinal disease. The authors emphasise the complexity of RVO mechanisms due to the interrelated nature of risk factors. They also highlight the role of cytokines as powerful mediators of pathological conditions such as inflammation, neovascularisation, and macular oedema. This review underscores the need for continued research into the mechanisms and treatment targets of RVO.Next, Casciano et al. then delve into the role of the mammalian target of rapamycin (mTOR) pathway in diabetic retinopathy (DR). They outline how chronic hyperglycaemia can lead to retinal neurodegeneration through overactivation or inhibition of the mTOR pathway. The authors highlight the mTOR pathway's role in coordinating multiple anabolic and catabolic processes, such as autophagy, oxidative stress, cell death, and the release of pro-inflammatory cytokines. This review provides valuable insights into the potential of targeting the mTOR pathway in the management of DR.Haydinger et al. provide a clinical overview of macular oedema, a complication of many retinal diseases that can lead to severe and permanent visual impairment and blindness. The authors discuss the mechanisms of disease, highlighting the dysregulation of the blood-retinal barrier as a key factor driving fluid accumulation in the central retina. They also discuss current treatments, including vascular endothelial growth factor blockers, corticosteroids, and non-steroidal anti-inflammatory drugs, and identify areas of opportunity for future research.Finally, In the realm of paediatric ophthalmology, two papers have made significant strides in understanding and treating conditions that affect the eyes of children.Gan et al., conducted a meta-analysis to evaluate the efficacy and safety of varying doses of atropine in slowing myopia progression in children. Myopia, or short-sightedness, is a common condition that affects a significant number of children worldwide. The study found that the efficacy and adverse effects of atropine are dose-dependent. High-dose atropine was found to be effective in slowing myopia progression, but its efficacy reduced after the first year of treatment. On the other hand, low-dose atropine showed better efficacy over a longer follow-up period. However, the higher the dose of atropine, the higher the incidence of adverse effects, such as photophobia. This meta-analysis provides valuable insights for clinicians in determining the appropriate dosage of atropine for treating myopia in children.The first paper, led by Taher, Ghaddaf et al., conducted a systematic review and meta-analysis to assess the efficacy and safety of intravitreal anti-vascular endothelial growth factor (anti-VEGF) injections for the treatment of retinopathy of prematurity (ROP). ROP is a potentially blinding eye disorder that primarily affects premature infants. The study found that anti-VEGF monotherapy was associated with fewer adverse events than laser therapy. However, there was no significant difference between the two treatments in terms of recurrence rate, treatment switching, retreatment, and mortality rate. This study provides a comprehensive review of the current standard treatment for ROP and offers valuable insights for future research and clinical practice.The second paper, by The recent studies on the ocular implications of COVID-19 and other viral infections, as well as the effects of their respective vaccines, have shed light on a critical aspect of these pandemics that often goes unnoticed.Zauli et al. highlighted the potential therapeutic role of the MDM2 inhibitor Nutlin-3 in protecting the eye from SARS-CoV-2 infection. The study suggests that the protein p53, present in high levels in the cornea, conjunctiva, and tear film, could play a protective role against the virus. The authors propose that the topical use of Nutlin-3 might protect the anterior surface of the eye from SARS-CoV-2 infection, thereby reducing the spread of the virus.Akbari and Dourandeesh provided an updated overview of the ocular manifestations of COVID-19. The study emphasises the importance of paying attention to ocular manifestations during COVID-19, as they can be a presentation of life-threatening events such as stroke. Conjunctivitis is the most common presentation, which can develop at any stage of COVID-19, and there are also reports of life-threatening complications, such as rhino-orbital cerebral mucormycosis.Taha et al. conducted a literature review highlighting the ocular complications of recent viral pandemics, including Monkeypox, SARS-CoV-2, MERS, Ebola, H1N1, and Zika viruses. The review also discusses the ocular complications of the vaccines and treatments used during these pandemics, and the role of the eye as a significant route of viral transmission.Scalabrin et al. provided an overview of the ocular effects caused by viral infections and their corresponding vaccines, focusing on varicella zoster virus, measles virus, influenza viruses, hepatitis B virus, and SARS-CoV-2. The study aimed to establish a risk-benefit relationship from an ophthalmological point of view, comparing the pathological effects on the eye due to these viral infections with the possible ocular adverse effects of their respective vaccines.Abu-Ismail et al. discussed the impact of the COVID-19 pandemic and the wearing of face masks on ophthalmology practice. The study found that wearing face masks for long periods increases the chances of dry eyes and other ocular issues. The pandemic has also affected ophthalmology practices in managing patients, with new factors to consider, such as the risk of endophthalmitis, tests and symptoms of patients with glaucoma, and the emerging symptoms associated with the COVID-19 vaccination.Lastly, In conclusion, the reviews presented in this Research Topic provide a comprehensive overview of the current state of ophthalmology, highlighting the significant strides made in understanding and treating various ocular conditions. The reviews underscore the importance of continued research and innovation in addressing the challenges that lie ahead. The impact of the COVID-19 pandemic on ophthalmology, particularly the effects of prolonged face mask use, has emerged as a critical area of study. As we continue to navigate through these unprecedented times, it is crucial to adapt our practices and explore new avenues to ensure the best possible care for our patients. We hope that the insights provided in these reviews will stimulate further research and contribute to the advancement of ophthalmology.All authors listed have made a substantial, direct, and intellectual contribution to the work and approved it for publication."}
+{"text": "The COVID-19 pandemic highlighted some potential limitations of transmission-based precautions. The distinction between transmission through large droplets vs aerosols, which have been fundamental concepts guiding infection control measures, has been questioned, leading to considerable variation in expert recommendations on transmission-based precautions for COVID-19. Furthermore, the application of elements of contact precautions, such as the use of gloves and gowns, is based on low-quality and inconclusive evidence and may have unintended consequences, such as increased incidence of healthcare-associated infections and spread of multidrug-resistant organisms. These observations indicate a need for high-quality studies to address the knowledge gaps and a need to revisit the theoretical background regarding various modes of transmission and the definitions of terms related to transmission. Further, we should examine the implications these definitions have on the following components of transmission-based precautions: (i) respiratory protection, (ii) use of gloves and gowns for the prevention of respiratory virus infections, (iii) aerosol-generating procedures and (iv) universal masking in healthcare settings as a control measure especially during seasonal epidemics. Such a review would ensure that transmission-based precautions are consistent and rationally based on available evidence, which would facilitate decision-making, guidance development and training, as well as their application in practice. Standard and transmission-based precautions are essential elements of infection prevention and control (IPC) practices ,2. TransEmerging scientific evidence and revisiting previously available studies support the argument that the distinction between droplets and aerosols is artificial, and dogmatic size thresholds for \u2018large droplets\u2019 and \u2018aerosols\u2019 are not fully consistent with the physical properties that are relevant for the transmission of respiratory viruses -7. WhileMycobacterium tuberculosis, and the measles and varicella-zoster viruses, have traditionally been considered as being transmitted obligatorily or preferentially through the airborne route, thus necessitating precautions against airborne transmission, including the use of respirators and hospitalisation in single rooms with negative pressure [Only a few microorganisms, such as pressure . These rpressure ,12.Altogether, the relevant role of various routes of transmission, which includes the physical transport of an infectious particle leading to infection, has been challenging to assess. Efforts to define criteria of proof for each transmission route have been useful but it is difficult to draw any conclusion with certainty ,14. The Furthermore, the quality and certainty of evidence on the effectiveness of various elements of PPE used for transmission-based precautions remains low, as the evidence is based mostly on observational studies and only a few randomised controlled trials. Several systematic reviews and meta-analyses have been published but the certainty of the conclusions is limited by the bias of the underlying studies . This meLater variants of SARS-CoV-2 are characterised by higher transmissibility than previous variants . On the These observations indicate a need to revisit transmission-based precautions and their effectiveness for preventing transmission of SARS-CoV-2 in particular and other respiratory viruses in general, as well as a need to fund, design and execute high-quality studies to fill the evidence gaps for transmission-based precautions .On 16 March 2022, the European Centre for Disease Prevention and Control (ECDC) convened a group of 11 IPC experts to explore whether modifications in transmission-based precautions would be needed to address what we learned during the COVID-19 pandemic and to identify knowledge gaps and research needs. Experts were selected as a convenience sample from the ECDC Expert Directory based on declared expertise in hygiene and infection control. The discussion was structured based on the following elements of the Evidence to Decision (EtD) framework : (i) HowBoxA review of the theoretical framework, and definitions of terms, for modes of transmission underpinning the IPC paradigm;Risk assessment parameters for IPC measures based on risk of infection transmission inclusive of: transmissibility of infection, impact of infection, patient factors, staff risk factors, practice/procedure factors and environmental factors, while taking into consideration: healthcare workers\u2019 preference, desirable and undesirable anticipated effects and the balance between them, overall certainty of the evidence of effects, acceptability and ease of implementation;Design and implementation of high-quality applied clinical research to inform:- The use of respirators and medical face masks in various risk scenarios,- The impact of gowns, aprons and eye protection as part of transmission-based precautions,- Optimal masking strategies to reduce risk of transmission inclusive of sessional vs risk-targeted, wider masking policy, including behavioural insights to adherence, any unintended consequences for staff and patient safety, and staff preferences,- A risk-based approach to the selection of personal protective equipment considering the time of exposure, the proximity to the patient and the procedure/task.IPC: infection prevention and control.Given that neither the current droplet nor the airborne precautions address the role of aerosols at short distances, various options could be considered for adapting current transmission-based precautions. Droplet precaution measures could be expanded to address the theoretical risks linked to inhalation of short-range aerosols. A two-tiered risk-based approach could be applied, based on proximity, length of exposure, type of symptoms and type of care: (i) contacts with prolonged, close proximity to the patient, including the performance of high-risk procedures, are associated with higher risk and justify the use of high-efficacy respiratory protection; (ii) for contacts without prolonged, close proximity to an infectious patient in adequately ventilated spaces, the effectiveness of medical face masks would be sufficient.Gloves are part of contact precautions that have been recommended for the prevention of the transmission of respiratory viruses such as influenza and SARS-CoV-2. However, hand hygiene, including alcohol-based hand rubs, is an effective measure against SARS-CoV-2 and other respiratory viruses ,30, as wWhile the desirable anticipated effects from the use of gloves and gowns/aprons are small, the undesirable anticipated effects are at least moderate. Therefore, the balance of desirable and undesirable effects does not favour the routine use of gloves or gowns/aprons for the prevention of COVID-19 and other respiratory virus infections. An exception may be prolonged, close exposure to a case, especially a patient who is coughing or sneezing heavily, when high-risk procedures are required, or in cases when there is a high risk of exposure to infectious body fluids - as stipulated by standard precautions.There is emerging evidence that the increased risk of infection from some aerosol-generating procedures may be more related to proximity with the patient than to increased generation of aerosols by the procedure itself . SeveralGiven that the risk of transmission is related not only to the microorganism, but also to the duration and proximity of contact, the applied transmission-based precautions should ideally be selected following a point-of-care risk assessment, taking into account proximity, duration of exposure, risk of aerosol production and the type of task performed.Various forms of continuous face mask use, such as universal masking, applying to healthcare workers, patients, visitors and persons accompanying the patient, and targeted continuous masking, applying to healthcare workers , especiaThe eyes have been identified as potential routes of entry for respiratory viruses either directly, by infection of the ocular mucosa, or by transfer to the nasopharynx through the nasolacrimal duct . AvailabA limitation of the above suggestions is the low level of available evidence in epidemiological studies or clinical trials for the effectiveness of specific elements of transmission-based precautions, including elements of PPE. Emerging evidence may increase our certainty in the magnitude of their effectiveness. A better understanding of the physical processes of exposure does not automatically translate into more effective prevention measures, as infection is a more complicated process than the transfer of infectious particles, involving immune processes and the suitability of various exposed host tissues for the entry of viruses. The applied preventive measures aim at mitigating the risk of infection to an acceptable level, taking into account the assessed risk but also other parameters such as preferences, ease of implementation and unintended consequences. Studies which use various forms of modelling and laboratory experiments to investigate the role of procedures and behaviours in generating and dispersing respiratory particles are limited and ultimately do not provide adequate evidence to address transmission in the complex healthcare environment. There is a need for applied clinical research on the effectiveness but also the unintended consequences of preventive measures to support the development of evidence-based recommendations for guidance. Furthermore, human challenge studies, taking carefully into consideration any ethical issues , may proTransmission-based precautions are important but are not the only measures to control SARS-CoV-2 transmission in healthcare. It should be noted that PPE is only one among several control measures in the hierarchy that includes elimination and substitution, engineering and administrative controls . TransmiMeasures to prevent and control an infection with high morbidity and case fatality and without treatment options are influenced by the assessed risk of adverse outcome and ofteThe ECDC expert panel suggested that the IPC community should consider revisiting the current transmission-based precaution framework, including the theoretical background regarding various modes of transmission and the definitions of terms related to transmission, to account for available and emerging scientific evidence and the role that the consequence of infection plays on the choice of the precautions. Such a review would ensure that transmission-based precautions are consistent and rationally based on available evidence, which would facilitate decision-making, guidance development and training, as well as their application in practice to prevent transmission of SARS-CoV-2 and of other respiratory viruses. High-quality studies are imperative to address the current knowledge gaps and strengthen the evidence for any future revision of transmission-based precautions."}
+{"text": "The National Agrobiodiversity Center under the Rural Development Administration (RDA) in Jeonju, Republic of Korea stands as the foremost national genebank in the country. Over the years, the National Agrobiodiversity Center has remained committed to enriching its collection with foreign genetic resources, elevating its status to a world-class plant genetic resources (PGR)- holding genebank. Currently, several steps are being undertaken to improve the accessibility of the collection to national as well as international researchers, improve the data available on the resources, and amend the passport information for the accessions. With the implementation of the Nagoya Protocol, the origin of genetic resources is being highlighted as an important input in the passport information. The RDA-Genebank actively responds to the Nagoya Protocol by supplementing passport data for resources lacking information on their origin. In addition, a large number of conserved resources are continuously multiplied, and agronomic traits are investigated concurrently. With the traditional methods of characterization of the germplasm requiring a significant amount of time and effort, we have initiated high-throughput phenotyping using digital techniques to improve our germplasm data. Primarily, we have started adding seed phenotype information followed by measuring root phenotypes which are stored under agronomic traits. This may be the initial step toward using largescale high-throughput techniques for a germplasm. In this study, we aim to provide an introduction to the RDA-Genebank, to adopted international standards, and to the establishment of high-throughput phenotyping techniques for the improvement of passport information. The National Agrobiodiversity Center in Jeonju, Republic of Korea, under the administration of the Rural Development Administration (RDA), plays a pivotal role in the collection, evaluation, conservation, and distribution of diverse plant genetic resources, including both seeds and vegetative germplasms. With the establishment of a low-temperature seed storage facility in 1975 and a seed management office in 1976, around 3300 germplasms were managed at local agricultural institutions. Later, in 1980, official documentation of 12,865 rice germplasms conserved by local agricultural institutions and universities was carried out, followed by their addition to the low-temperature seed storage collection. While seed germplasms were conserved at the genebank, external management institutions managed vegetative germplasms. In 1993, the RDA-Genebank began international cooperation starting with the N.I. Vavilov All-Russian Institute of Plant Genetic Resources (VIR) (1993\u20132019). At the RDA-Genebank, researchers aim to secure germplasm diversity by continuously collaborating with international joint research institutes including the Uzbek Research Institute of Plant Industry (UzRIPI) in Uzbekistan (1996\u20132004), the Department of Agriculture (DOA) Genebank in Thailand (1998), the Leibniz Institute of Plant Genetics and Crop Plant Research (IPK) (1998\u20131999) in Germany, the International Rice Research Institute (IRRI) in the Philippines, the Plant Science and Agricultural Research Institute (PASRI) in Mongolia, the National Bureau of Plant Genetic Resources (NBPGR) in India, and the Georgian Academy of Agricultural Sciences (GAAS) in Georgia. Adoption of international policies such as the Convention on Biological Diversity (CBD) at the United Nations conference on environment and development (UNCED) in 1992 and the Nagoya Protocol on Access to Genetic Resources and the Fair and Equitable Sharing of Benefits Arising from Their Utilization in 2010 has further reinforced germplasm conservation efforts. Despite the limitations on data disclosure and international distribution of germplasms, Korea remains one of the significant countries conserving plant biodiversity. The Nagoya Protocol is an international agreement that aims to promote the fair and equitable sharing of benefits arising from the use of genetic resources, including those held in genebanks. The protocol was adopted in 2010 under the United Nations Convention on Biological Diversity (CBD) and entered into force in 2014 . The hisOverall, the Nagoya Protocol represents a significant milestone in the international effort to promote the conservation and sustainable use of genetic resources, including those held in genebanks, and to ensure that the benefits of these resources are shared fairly and equitably. In accordance with the Nagoya Protocol, RDA-Genebank continuously updates passport data on the origins of germplasms to actively respond to the utilization of genetic resources and the sharing of benefits accordingly. As a method of supplementing origin information, the passport data disclosed on the homepage of the relevant genebank was reflected on the basis of the original international genebank resource number.http://genebank.rda.go.kr/plantMain.do, accessed on 23 Mar 2023). Whereas the Korean version provides access to essential passport data, including conserved genetic resources of plants for distribution, the English version falls short in divulging the current status of resource conservation and the pertinent passport data. Consequently, this omission poses challenges for foreign researchers seeking to obtain and investigate our germplasms.The website of our institution presently offers visitors the option to select either the Korean or the English version were domestically distributed in the Republic of Korea, while only a small proportion (0.73%) was circulated internationally . The treIn 2018, the RDA-Genebank initiated a collaboration research program, the Technology Development Project for Customized Agricultural, Forestry, and Fishery Products and Services, partnering with agricultural organizations such as seed companies and private research institutions. The objectives of this program were to broaden and improve the characterization and evaluation information of the conserved germplasms, augment their diversity, propagate them, and concurrently conduct characterization research. Through chemical composition profiling or disease resistance evaluation, commendable genetic resources have been shortlisted from the outcomes of these research endeavors, to be recommended for breeding and further scientific investigations. During 2010\u20132013, a total of 1343 accessions were distributed for local propagation of rice to the IRRI, the Philippines. For the purpose of germplasm exchange with international genebanks, the RDA-Genebank has introduced 568 accessions in the ARS (2012) in the US, 995 accessions in the UzRIPI in Uzbekistan (2011\u20132014), 10 in the VIR in Russia (2014), 235 in the AVRDC in Taiwan (2013\u20132016), and 232 in the GAAS in Georgia (2015\u20132016) as a part of its germplasm exchange policy. We have also supplied to private entities, including the distribution of 62 sesame accessions to the Tainan District Agricultural Research and Extension Station in Taiwan. The distribution overseas can be categorized into two types: those sent through Korea Project to the International Agriculture (KOPIA) center as part of Official Development Assistance (ODA) projects, which provide country-specific farming techniques, and those distributed through the 3-FACI. The 3-FACI initiative includes the Asian Food & Agriculture Cooperation initiative (AFACI), the Korea\u2013Africa Food & Agriculture Cooperation initiative (KAFACI), and the Korea\u2013Latin America Food & Agriculture Cooperation initiative (KoLFACI). These programs aim to facilitate multi-continental research and collaboration to address common farming problems. Despite RDA-Genebank\u2019s possession of world-class germplasms, limited overseas distribution has occurred due to the unavailability of individual resource information on online platforms such as Genesys, managed by the Global Crop Diversity Trust. Exceptions to this pattern have occurred only when researchers with Korean affiliations have utilized publicly available history information to apply for resource distribution. Our institution is diligently making preparations, including the dissemination of passport information, to ensure the continuous availability and accessibility of our plant genetic resources for international distribution.In order to improve the utilization of the conserved germplasms, systematic passport data management is indispensable . GermplaGlycine max), the morphological characteristics of 650 landraces were investigated, about 40 of them were selected as a core collection, and a molecular genetic profile was promoted [Capsicum spp.), the analysis of capsaicin content, the cultivation of anthracnose-resistant intermediate seedlings, the evaluation of Chinese cabbage (Brassica rapa ssp. penkinensis) landraces, the cultivation of superior groups, and the cultivation of intermediate seedlings resistant to wart disease of cabbage [In response to consumer preferences, there is a notable increase in the incorporation of evaluation data concerning chemical composition profiles, such as glucosinolate levels in Brassica ssp. and disease resistance. This highlights the importance of considering these factors in the evaluation process. Since the 1990s, the RDA-Genebank has systematically investigated its conserved genetic resources for their qualitative and quantitative traits to promote the use of germplasms by consumers of the end product. During the early stages, the characterization centered on seed viability and primary characteristics of germplasms such as seed coat color, width, and length. From 1995, the organization was subdivided into several divisions for cereal crops, horticultural crops, and special crops, respectively, and their evaluation data was augmented. In addition, chemical composition profiles such as the oil and fatty acid content of sesame seeds; the protein content, amylose and amylopectin content, and starch characteristics of rice landraces; and the DNA polymorphism analysis of rice and barley were initiated . In the promoted . Among t cabbage . The gerB. rapa subsp. pekinensis), our studies focused on analyzing the individual glucosinolates of the mustard leaf (B. juncea) and the Choy Sum (B. rapa subsp. chinensis var. parachinensis) [Starting in 2019 with Chinese cabbage (inensis) ,14. The With further work carried out on expanding the information available in the evaluation data for germplasms conserved at the RDA-Genebank, substantial consideration has been given to using high-throughput techniques to study the germplasms. One such aspect is using digital phenotyping for largescale analysis and screening of the germplasms.r2) between image-based and actual height and the width measurements of soybean seeds [Glycine max), and diversity analysis was performed using origin and status [Glycine max) and adzyki bean (Vigina angularis) germplasms for the first time across international genebanks [Glycine max cv. Enrei Japanese varieties, which are known for their excellent nodulation characteristics. Additionally, these digital phenotyping techniques can be applied to various other crops conserved at the RDA-Genebank. For instance, in wheat, RGB images obtained from a digital camera can be utilized to measure agronomic traits such as tiller number per plant, canopy (including leaf number and length), phenotypic characteristics of wheat spike, and tomato internode length. In the future, RGB images captured using unmanned aerial vehicles can also be used to measure plant heights in crops such as rice, wheat, barley, and corn [The significance of seed traits is widely acknowledged, and seeds are selected on the basis of their phenotypic characteristics to improve crop yield and quality, making this one of the oldest phenotyping techniques . Phenotyctively) . Therefond wild) . Currentnd wild) . In geneenebanks ,23. Specenebanks . We confand corn .Hyperspectral sensors have been utilized to measure photosynthesis and respiration, which are directly related to crop growth and are currently being studied in tobacco, corn, and wheat . In addiThe augmentation of phenotype data with existing characterization information, as well as the integration of genomic, phenomic, and other molecular data, can significantly aid researchers in selecting optimal accessions for breeding and elucidating various evolutionary characteristics . In the Given the accelerating loss in biodiversity worldwide due to changing climatic conditions and anthropogenic activities, the importance of agricultural genetic resources is becoming more prominent. At plant genebanks throughout the world, continuous efforts are being taken towards improving the quality and quantity of germplasm collection along with ease of access. The germplasms we conserve at the National Agrobiodiversity Center are continuously investigated for agricultural traits and building an updated database. Recently, we have also concentrated on methods for investigating agricultural traits by applying digital techniques. We expect information on the germplasms conserved in the RDA-Genebank to be made accessible at an early juncture to researchers all over the world. Ensuring timely access to vital genetic resources will foster international collaboration and contribute to the advancement of research and agricultural development worldwide. By promoting transparency and facilitating the exchange of germplasms, plant biologists can collectively work towards enhancing global food security, biodiversity conservation, and sustainable agriculture. As custodians of invaluable genetic resources, the RDA is committed to promoting their widespread availability and fostering fruitful partnerships with researchers and institutions across the globe."}
+{"text": "To describe the current knowledge on safety and effectiveness of the tumor necrosis factor (TNF)-a antagonists and identify current knowledge/evidence gaps for study by the Agency for Healthcare Research and Quality (AHRQ) Effective Health Care Program.Evidence-based Practice Centers (EPCs) and the Developing Evidence to Inform Decisions about Effectiveness (DEcIDE) network of AHRQ's Effective Health Care Program will study the safety and effectiveness of biologic and nonbiologic disease-modifying antirheumatic drugs . The current knowledge of safety and effectiveness of TNF-a antagonists is reviewed.Treatment of adult rheumatoid arthritis (RA) involves determining which agents are safe, effective, and cost effective for an individual. Each individual patient's health system may also play a role in which agents are chosen. Many agents are available for the management of RA, some with high cost and unknown safety. Section 1013 of the Medicare ModernizationAct of 2003 authorizes AHRQ to study comparative effectiveness and safety ofRA treatments through both EPCs and DEcIDE centers to develop scientific knowledge for RA management as well as through epidemiologic studies.Results will be compiled through a Clinical Decisions and CommunicationsScience Center, then disseminated to all appropriate stakeholders, including patients, payers, and health care professionals. The current knowledge of safety and effectiveness of TNF-a antagonists in the treatment of RA is reviewed. Increased rates of serious infections, including Mycobacterium tuberculosis (MTB), or tuberculosis reactivation, may occur with the use ofTNF-a antagonists. It is still unclear if RA increases the risk of developing cancer, or if use of TNF-a antagonists increases cancer risk.TNF-a antagonists are costly, yet effective treatments for early and late RA. Use of these agents provides rapid relief of RA symptoms and provides positive outcomes, defined as improvements in AmericanCollege of Rheumatology 20, 50, 70 scores; Health Assessment Questionnaire ratings; activities of daily living; joint space narrowing; erosions; and acute phase reactants. Reactivation of latent MTB or onset of other infections or cancers may occur in RA patients with TNF-a antagonists."}
+{"text": "On any given day, almost 11 million people globally are deprived of their liberty. In 2020, the global female population was estimated to be 741,000, an increase of 105,000 since 2010. In order to investigate progress in the adoption of the Bangkok Rules since 2010, we conducted a legal realist assessment based on a global scoping exercise of empirical research and United Nations (UN) reporting, using detailed MESH terms across university and UN databases. We found evidences in 91 documents which directly relate to violations of the Bangkok Rules in 55 countries. By developing a realist account, we document the precarious situation of incarcerated women and continued evidence of systemic failures to protect them from custodial violence and other gender-sensitive human rights breaches worldwide. Despite prison violence constituting a complex and multifaceted phenomenon, very little research has been conducted on custodial violence against women since 2010. Although standards of detention itself is a focus of UN universal periodic review, special procedures (violence against women) and concluding observations by the UN committees, very few explicitly mentioned women, and the implications of violence against them while incarcerated. We highlight three central aspects that hinder the full implementation of the Bangkok Rules; the past decade of a continued invisible nature of women as prisoners in the system; the continued legitimization, normalization, and trivialization of violence under the pretext of security within their daily lives; and the unawareness and disregard of international (Bangkok and others) rules. On any given day, almost 11 million people globally are detained in prisons or other closed settings . In 2020Bangkok Rules; Tokyo Rules;Nelson Mandela Rules; Mandela Rules do not specifically refer to women (with Rule 7 referring to self-perceived gender identity), the Bangkok Rules as soft law principles lay the foundation for intensified efforts to support women deprived of their liberty . The 2015 UN Subcommittee on Prevention of Torture and other Cruel, Inhuman or Degrading Treatment or Punishment in the community, and the spotlight has been shone on torture and inhumane treatment in detention itself, very little has been dedicated to gender-specific aspects of countering interpersonal custodial violence against women deprived of their liberty , most particularly so when experienced as torture or cruel, inhuman or degrading treatment, or punishment within the power-imbalanced custodial setting. Under international law, rape constitutes torture when it is carried out by or at the instigation of or with the consent or acquiescence of public officials, with other forms of sexual abuse violating the prohibition on cruel, inhumane, or degrading treatment or punishment. Other identified forms of custodial GBVAW include strip searches conducted by men or in the presence of men, virginity testing, verbal sexual harassment, use of restraints (including during labor), psychotropic drugs and solitary confinement to control prisoners, inappropriate surveillance by guards during undressing or showers, and the denial of access to medical care by nonmedically trained officials and CEDAW observations at the global level since 2010. 101 UN CAT reports and 158 CEDAW reports were scrutinized, with human rights violations pertinent to the identified Bangkok Rules found in 15 UN CAT, 32 UN CEDAW, and 21 other domestic and UN Human Rights Council reports. Third, the academic literature was examined, and we found 23 relevant records where breaches of the Bangkok Rules were evident. In total, 91 documents related directly to violations of the Bangkok Rules in 55 countries. Despite prison violence constituting a complex and multifaceted phenomenon, very little academic research has been conducted on GBVAW in custodial settings since 2010, with the bulk of the evidence centering on Special Rapporteur and UN country-level reporting. Although standards of detention itself is a focus of UN periodic reports, very few explicitly mentioned women, and the implications of violence against them while incarcerated. See Empirical studies from the United Kingdom (UK) and the United States reveal that the female prison environment continues to be as emotionally suppressive, conflict-laden, and violent as in male settings, particularly relating to fighting and physical assaults, with inmate-on-inmate violence comparable across male and female facilities, including sexual assaults, transactional sex in return for protection, privilege or basic necessities, and intimate partner violence between prisoners . At the . The 2016 CEDAW report on Canada criticizes the presence of male guards in female prisons in Canada .With regard to the Middle East, the UN CAT documents allegations of gender-based violence, including torture, ill treatment and rape, against women in detention in Iraq in 2015 . There aBangkok Rules at the global level as they pertain to the conditions of women in detention since adoption, particularly the prevention of and protection from custodial violence when deprived of their liberty. Gender inequity and inequality is pervasive. Although custodial violence in essence violates the internationally recognized prohibition on cruel, inhuman or degrading treatment or punishment, it remains a largely hidden and sensitive topic for both genders when deprived of liberty, with insufficient surveillance of the issue, coercion threatening disclosure (particularly for women), very low rates of perpetrator accountability, and scant prevalence data available at the global level rules; and the task to organize different modes of incarceration environment for prisoners who committed nonviolent crimes. Human rights violations encountered by women in the criminal justice and penal systems continue worldwide. Many countries have not fully adopted the Bangkok and Tokyo Rules, leading to congestion and overcrowding in female prisons, lack of protection against violence, particularly when housed in nonsegregated prisons, either perpetrated by officials or by fellow inmates (of both genders), use of psychotropic and physical restraints, arbitrary detention and solitary confinement, and the lack of full access to gender specific medical care, trauma-informed and trauma-responsive mental health supports, and drug treatment . Inadvertently, our realist account highlights the continued lack of resourcing of female prisons, lack of implementation of noncustodial sentencing for minor and nonviolent offenses, lack of consideration of GBVAW, exploitation and trauma-related pathways into crime (largely poverty or drug-related), and overall lack of oversight in disclosure and penal complaint mechanisms where GBVAW is perpetrated in the closed setting.These insights give a well-founded basis for relevant UN agencies and the World Health Organization to provide technical assistance and promote further improvements and penal reforms worldwide. Moreover, this gives a substantiated starting point for human rights organizations such as Amnesty International, the Howard League for Penal Reform, Penal Reform International, and Harm Reduction International to appoint targeted and fitting actions to reduce GBVAW in custodial settings. See Further, we wish to underscore how this neglect not only constitutes grave human rights abuses but also fuels self-harm, suicide, psychiatric disorders and deaths, and the spread of disease bridging between prisons and communities. Addressing disease hinges on prison system approached and parameters to address physical and sexual violence in prisons, trauma-related mental health issues, and unsafe injecting of drugs. UN reporting continues to highlight such issues globally where women are discriminated and treated in an unequal manner, alongside the dearth of academic research and access of research teams into prisons . It is f"}
+{"text": "With aging, the frequency of stress-related diseases, including mental, metabolic, cognitive, cardiovascular, and neurodegenerative disorders, increases dramatically. Despite this generalized phenomenon, there are notable individual differences in both vulnerability and resilience to stress and stress-related pathologies. Despite the plethora of studies in stress research, the mechanisms underlying individual vulnerability to stress and age-related diseases remain unclear.The HPA axis is a key modulator of both the endocrine and behavioral adaptation to stress, and dysfunction of the HPA axis can contribute to the development of various stress-dependent diseases. Function of the HPA axis deteriorates during aging both in basal conditions and in response to stress. However, the type and magnitude of HPA axis deterioration are not similar in all individuals and appear to be associated with different behavioral characteristics. In particular, a higher activity of the HPA axis has been noted in elderly individuals with depression and in non-human primates that exhibit depression- and anxiety-like behavior (DAB) \u20133. ThereGoncharova et\u00a0al. presents original data on the responses of the HPA axis to acute psycho-emotional stress exposure (ASE) in young and old female rhesus monkeys with standard healthy and DAB behavior under conditions of continuous constant lighting (CL) using LED lamps that are commonly encountered in offices and apartments. The unique findings were that CL reduces the cortisol (CORT) response to ASE applied in the afternoon (15.00-17.00 h) and also disrupts the circadian rhythm of CORT secretion in all animals, regardless of age and behavior.Here, we provide a brief editors\u2019 overview of the articles published in this field. The article by The mechanisms underlying this phenomenon, however, are age-dependent. In young animals, the transhypophyseal pathway mediates the effect, whereas in older animals the effect is mediated primarily by an extra-hypophyseal neural pathway. The effects of CL on the stress reactivity of the HPA axis in young individuals were similar to its influence on the corticotropin and the CORT responses to administration of arginine vasopressin. A number of individual differences were also noted in DAB animals compared to normal behavioral controls. The findings suggested a potential risk of reduced adaptive capacity under CL resulting in stress-dependent pathology and accelerated aging, especially in the DAB-compromised organism. Such findings are relevant in connection with intensive night lighting and work and other activities at night.Konstandi and Johnson presents important data on the role of the HPA axis in the regulation of hepatic cytochrome P450 (CYP)-dependent drug metabolism, which is largely genetically determined and not the same in different individuals. Genetic polymorphisms and mutations of CYP genes are observed among several ethnic populations, such as Africans, White and African Americans, Asians, Caucasians, and Europeans. Activation of the HPA axis during stress and aging can lead to disruption of CYP gene regulation and CYP-dependent drug metabolism with pronounced inter-individual variations in the effectiveness and side effects of standard treatment protocols. The implications are particularly important in the treatment of age-related diseases, such as depression, cancer, hypertension, and diabetes. Individual differences in CYP-dependent drug metabolism may also contribute to age-related individual differences in the functioning of the HPA axis.The review by Degroote et\u00a0al. focuses on the study of the relationship between individual differences in the daily activity of the HPA axis in middle-aged and elderly people and coronary heart disease (CHD). This is also a main risk factor for arterial hypertension. Both are widespread in these age groups. The authors examined the concentration of CORT in saliva in hypertensive and normotensive men and men with CHD at different times of the day. Additionally, they prospectively tested the cortisol awakening response (CAR) for association with biological risk factors for CHD. They found that lower total daytime CORT secretion and CAR independently predicted increases in cardiovascular risk, as evidenced by increases in the circulating levels of biomarkers of atherothrombotic risk. The findings confirmed the pathogenetic role of age-related disturbances in the HPA axis function in the development of age-related cardiovascular pathology.The article by Dai et\u00a0al. was to investigate the role of the HPA axis in the effectiveness of modified electroconvulsive therapy (MECT) for the treatment of drug treatment-resistant depression (TRD). A considerable amount of literature suggests that dysregulation of the HPA axis plays a key role in the pathophysiology of TRD. However, contrary to reports by other authors who identified an association of efficacious electroconvulsive therapy with normalization of the HPA axis dysregulation, these authors found no statistically significant differences in serum CORT levels before and after MECT in elderly patients with TRD. Adequate assessment of the HPA axis function, in this case, may require not just the determination of total blood CORT concentration but also measurement of, for example, dehydroepiandrosterone sulphate and corticotrophin as well. Other confounding factors that may play a role include the time of day when MECT is performed, such as in the evening, a period of reduced circadian HPA axis activity.One of the main aims of the study presented in Collectively, the articles presented here strongly suggest that the disruption of the HPA axis activity observed across aging has notable deleterious effects on the function of other physiologic systems, namely, 1) altered adaptation to the inhibitory effect of continuous lighting on the cortisol response in acute psycho-emotional stress, 2) modification of the intensity of CYP-dependent drug metabolism, 3) increased vulnerability to cardiovascular pathology, and 4) the daily activity of the HPA axis in basal cortisol concentration and the cortisol awakening response. The general premise supported by most studies is that\u00a0age-related dysfunctions of the HPA axis form the pathophysiological conditions for the development of age-related pathology and that individual differences in the characteristics and intensity of age-related dysfunctions of the HPA axis may underlie differences in vulnerability to age-related pathology.NG wrote the first draft of the manuscript, and DB and EJ revised the manuscript. All authors read and approved the final version."}
+{"text": "Attention-deficit/hyperactivity disorder (ADHD) impairs the lives of both children and adults. Undiagnosed and untreated, ADHD may have serious lifelong consequences. Research has identified diagnostic clues, neurotransmitter pathways, and psychiatric comorbidities related to ADHD, as well as effective pharmacologic, behavioral, and psychosocial interventions. Stimulant agents have been the foundation of ADHD therapy for more than 50 years. Availability of new extended-release (XR or ER) and longer-acting (LA) formulations and novel agents allows for wider and more individualized treatment choices. Side effects of stimulants are generally mild, short lived, and responsive to adjustments in dosage or timing.Outcomes in ADHD treatment can be improved with the use of clear treatment guidelines and tools to aid clinicians in implementing them efficiently and effectively. The Texas Children's Medication Algorithm Project (CMAP)provides a system of algorithm-driven treatment decisions that is evidence based and easy to implement.To (1) review the psychological components of attention, the neurotransmitter pathways associated with ADHD, and the array of therapeutic options for ADHD, with an emphasis on the most recent introductions to the therapeutic armamentarium; (2) discuss the rare psychiatric and cardiovascular side effects associated with stimulants; (3) review abuse liability,comorbidities, and suggested approaches to these issues; and (4) review the development and use of CMAP and offer resources for its implementation in clinical practice.The pathophysiology of ADHD is linked to dysfunction of front osubcortical networks and dysregulation of dopaminergic, noradrenergic, and nicotinic neurotransmitter systems. An additive effect of multiple genes as well as environmental influences contributes to the clinical picture.Treatment with stimulants and nonstimulants has proven effective in different subgroups, with the effectiveness of specific agents most likely related to the primary neurotransmitter involved. Availability of XR, ER, LA, and transdermal stimulant formulations, as well as alternative nonstimulantagents, offers new options for the pharmacotherapy of ADHD. Major concerns associated with abuse liability of stimulants have been allayed by the availability of ER formulations, which have reduced reinforcing effects associated with short-acting preparations. Medication outcomes in ADHD can be enhanced by the use of evidence-based algorithms such as CMAP. Keys to success are adequate initial assessment and diagnosis, the use of sustained release products, sufficient dose titration, and the use of clinical rating scales with feedback from caregivers and teachers. Optimal treatment out comes can be achieved by appropriate pharmacotherapy combined with psychosocial interventions."}
+{"text": "The advent of robotic-assisted thoracic surgery (RATS) has revolutionized the field of thoracic surgery, offering a new paradigm for personalized, precision, and individualized medicine. The unique capabilities of RATS, including enhanced dexterity, precision, and visualization, allow for a more tailored approach to each patient\u2019s specific needs. This personalized approach is particularly relevant in managing thoracic malignancies, where the surgical approach can significantly impact patient outcomes . As we cSakakura et al. report a novel approach to robotic lung resection, namely segmentectomy . The autBuilding on the concept of personalized surgical approaches, the second paper, from Okazaki et al., discusses the benefits of RATS for different types of mediastinal tumors, including anterior, superior, middle, and posterior mediastinal tumors . The autThe third paper emphasizes the importance of personalized surgery in the era of precision medicine. Eguchi et al. discuss the use of RATS in lung segmentectomy, highlighting the role of RATS in improving operative performance due to its core technological features . The autSakakura and Eguchi discuss the four phases of port placement variations, from the initial phase of mimicking video-assisted thoracic surgery (VATS) to the fourth phase of maximizing the functional features of the da Vinci Xi robotic system . They hiThe final paper, from Zhang et al., compares RATS and open thoracotomy in the context of non-small cell lung cancer treatment . The autThe future of RATS in thoracic surgery is promising, with ongoing advancements expected to further enhance the precision and personalization of surgical interventions. As technology continues to evolve, we anticipate further improvements in surgical outcomes, patient recovery, and overall quality of life. The integration of artificial intelligence and machine learning into RATS may also offer new opportunities for personalized medicine, potentially enabling more accurate preoperative planning, intraoperative navigation, and postoperative monitoring. As we continue to move forward in this exciting era of precision medicine, the role of RATS in providing personalized and optimal treatment for thoracic malignancies is expected to become increasingly prominent."}
+{"text": "British Journal of Cancer 10.1038/s41416-020-01153-4, published online 16 November 2020Correction to: The original version of this article contained an error in an affiliation. Upon careful review of the paper, the authors noticed that the affiliation for Goran Malenkovic was not written correctly. The authors only submitted the following affiliation Gynecologic Oncology Department Clinic for Operative Oncology, Institute of Oncology of Vojvodina, Serbia but they missed to notice that the Faculty of Medicine Novi Sad, University of Novi Sad, Serbia should also be in the affiliation."}
+{"text": "Incorrect AcknowledgmentsIn the published article, there was an error in the Acknowledgments statement.The authors gratefully acknowledge technical and financial support provided the Ministry of Education and King Abdulaziz University, DSR, Jeddah, Saudi Arabia for funding this research work to publish through the project number (IFPIP:1166-662-1443). The authors extend their appreciation to VEGA1/0664/22 Mitigation of the effects of environmental stresses in photosynthesis and plant production.The correct Acknowledgments statement appears as follows.AcknowledgmentsThe authors gratefully acknowledge the technical and financial support provided by the Ministry of Education and King Abdulaziz University, DSR, Jeddah, Saudi Arabia, to this research work through project number IFPIP: 1166-662-1443.The authors apologize for this error and state that this does not change the scientific conclusions of the article in any way. The original article has been updated."}
+{"text": "Bone metastasis is a complex and challenging clinical problem, affecting patients with advanced stages of cancer . AccordiInternational Journal of Molecular Sciences includes a total of six contributions: five original articles and one review providing significant advances in the understanding and treatment of bone metastasis.In this scenario, the Special Issue entitled \u201cBone Metastasis Challenge: New Ideas and Future\u201d of the The study by Mbese and Aderibigbe reported the potential of bisphosphonate-based conjugates and derivatives as therapeutic agents for osteoporosis, bone cancer, and metastatic bone cancer . The autThe additive benefits of the combination of Radium-223 Dichloride and Bortezomib in a systemic multiple myeloma mouse model have been investigated by Suominen and colleagues . The resFurthermore, the osteoprotective effects of Loganic Acid on osteoblastic and osteoclastic cells and osteoporosis-induced mice were studied . ExperimIn addition, a research paper investigated the expression profile of new marker genes involved in the differentiation of canine adipose-derived stem cells into osteoblasts . This stCold atmospheric plasma (CAP) has also been investigated for its potential in promoting regeneration-associated cell functions of murine cementoblasts in vitro . The resFinally, the study of Panahipouret al. investigIn conclusion, studies published in the Special Issue \u201cBone Metastasis Challenge: New Ideas and Future\u201d provide valuable insights into the molecular mechanisms underlying the development and progression of bone metastases and offer promising strategies for the prevention and treatment of this devastating disease. Moreover, the combination of molecular, pathological, and imaging data could open new and intriguing perspectives for developing therapies based on personalized medicine principles ."}
+{"text": "In recent years, the U.S. government has designated funding of several large-scale initiatives for comparative effectiveness research (CER) in health care. The American Recovery and Reinvestment Act (ARRA) of 2009 apportioned more than $1 billion to support CER programs administered by the Department of Health and Human Services (DHHS), the National Institutes of Health (NIH), and the Agency for Healthcare Research and Quality (AHRQ). CER is generally defined as the undertaking of original research or systematic reviews of published literature in order to compare the benefits and risks of different approaches to preventing, diagnosing, or treating diseases. These approaches may include diagnostic tests, medications, medical devices, and surgeries. The overall goals of CER are to support informed health care decisions by patients, clinicians, payers, and policy makers and to apply its evidence to ultimately improve the quality, effectiveness, and efficiency of health care.To (a) provide managed care professionals with general definitions of CER, specifically as it is administered by AHRQ; (b) discuss the importance of CER to clinical and managed care pharmacists; and (c) summarize key methods and findings from AHRQ\u2019s 2007 comparative effectiveness review on therapies for rheumatoid arthritis (RA).As supported by AHRQ, CER is conducted in order to synthesize comprehensive evidence on the comparative benefits and harms of treatment interventions. The findings from comparative effectiveness reviews can thus contribute to informing therapeutic strategies and treatment decisions. In 2007, a multitude of RA treatment options and studies motivated AHRQ to commission a systematic comparative effectiveness review. Conducted by investigators at the RTI-University of North Carolina Evidence-Based Practice Center, the review included comparisons of synthetic disease-modifying antirheumatic drugs (DMARDs), biologic agents, synthetic DMARDs versus biologic agents, and various combination therapies. Head-to-head comparisons of synthetic DMARDs generally revealed no significant differences in long-term clinical and radiographic outcomes, or in functional capacity or health-related quality of life. Two nonrandomized prospective cohort studies and 1 open-label effectiveness trial reported no differences in ACR20 and ACR50 response rates in patients treated with the tissue necrosis factor (TNF)-alpha inhibitors etanercept and infliximab. Comparisons of TNF-alpha inhibitors generally indicated no significant differences in rates of adverse events, including serious infections, and no increases in rates over time. In comparisons of a biologic agent combined with methotrexate versus a biologic agent alone, combination therapies were generally associated with better clinical response rates and better outcomes of functional capacity and quality of life. The most common adverse events observed in studies on biologic agents were diarrhea, headache, nausea, rhinitis, injection site reactions, and upper respiratory tract infections."}
+{"text": "The authenticity of probiotic products and fermented foods and beverages that have the status of protected designation of origin (PDO) or geographical indication (PGI) can be assessed via numerous methods. DNA-based technologies have emerged in recent decades as valuable tools to achieve food authentication, and advanced DNA-based methods and platforms are being developed. The present review focuses on the recent and advanced DNA-based techniques for the authentication of probiotic, PDO and PGI fermented foods and beverages. Moreover, the most promising DNA-based detection tools are presented. Strain- and species-specific DNA-based markers of microorganisms used as starter cultures or (probiotic) adjuncts for the production of probiotic and fermented food and beverages have been exploited for valuable authentication in several detection methods. Among the available technologies, propidium monoazide (PMA) real-time polymerase chain reaction (PCR)-based technologies allow for the on-time quantitative detection of viable microbes. DNA-based lab-on-a-chips are promising devices that can be used for the on-site and on-time quantitative detection of microorganisms. PCR-DGGE and metagenomics, even combined with the use of PMA, are valuable tools allowing for the fingerprinting of the microbial communities, which characterize PDO and PGI fermented foods and beverages, and they are necessary for authentication besides permitting the detection of extra or mislabeled species in probiotic products. These methods, in relation to the authentication of probiotic foods and beverages, need to be used in combination with PMA, culturomics or flow cytometry to allow for the enumeration of viable microorganisms. Aimed at achieving an economic gain, food labeling or food products may be tampered with, substituted or misrepresented, thus committing food fraud. To overcome this problem, which causes an estimated burden of USD 10\u201315 billion per year on consumers and industry [As stated in the consensus statement on fermented foods by the expert panel of the International Scientific Association for Probiotics and Prebiotics (ISAPP), \u201cfermented foods are foods made through desired microbial growth and enzymatic conversions of food components\u201d . The EurEach fermented food and beverage is characterized by a peculiar microbiota originating from the raw materials, equipment and processing environment, whose composition and evolution is affected by biotic and abiotic factors that intervene during each specific process of production. Such a microbial consortium ensures both the primary fermentation activities, which guarantee the technological results of the transformation, and the accessory ones, which contribute notably to the definition of the characteristics of typicality and quality, bases of their notoriety. Different microbial fingerprints have been found to be specific to the geographic area of origin . For thiBut while in the case of fermented foods and beverages, only the detection of either microorganisms used as starter cultures/adjuncts or the whole microbiota is satisfactory, in the specific case of probiotic foods and drinks, the quantification of each probiotic mentioned in the label is also mandatory ,13,14. ITo date, several methods are available to qualitatively and quantitatively detect microbial markers of authenticity in fermented and probiotic foods and beverages. Among these, DNA-based methods, mainly due to their speed, robustness, sensitivity and specificity, are gaining ground in recent decades.Herein, we provide a review of the advanced DNA-based techniques currently in use or that can be used in the near future to evaluate the authenticity of fermented and probiotic foods and beverages.Since 1983, when the scientists of the Cetus Corporation of Emerville launchedThe authenticity of a technological or probiotic microorganism should be determined not only at the species level but also at the strain level, as stated in the guidelines proposed by the Council for Responsible Nutrition and International Probiotics Association , as wellRandom amplified polymorphic DNA (RAPD)-PCR, which employs an oligonucleotide primer to amplify anonymous DNA providing complex strain-specific banding patterns, and amplified fragment length polymorphism (AFLP)-PCR, which combines the restriction endonuclease of the genomic DNA with a PCR involving adaptor- and restriction site-specific primers, are genotyping techniques providing polymorphic banding patterns that allow for strain discrimination . HoweverRAPD-PCR, AFLP-PCR and REA-PFGE have been applied to ascertain the authenticity of probiotic foods ,36,37, tWhole genome sequencing (WGS) allows the identification of a target microorganism at both species and strain level. Furthermore, WGS data analysis provides a preliminary in silico assessment of microbial safety and probiotic potential ,42, evalAuthentic is any probiotic food or supplement whose content is consistent with that claimed on its label ,13,14.Assessing the authenticity of a probiotic food is crucial and requires verifying not only the presence and viability of the labeled probiotic but also the labeled amount of viable cells of the probiotic. The gold-standard method to quantify microorganisms is plating. However, plating is time- and labor-consuming and requires more days to achieve results. Moreover, the selective media used to enumerate microorganisms do not allow the enumeration of microbes in the viable but non-culturable (VBNC) state. To overcome this drawback, methods that combine the use of selective and non-selective media in one single system, such as the Lutri plate, the Overlay (OV), the membrane-transferring surface-plating and the thin agar layer (TAL) methods, firstly proposed to detect VBNC pathogenic bacteria, can be used ,71. UsinReal-time PCR, which is rapid, robust, sensitive and user-friendly, besides being high-throughput and multiplexing, is being widely applied to investigate the authenticity of probiotic and fermented foods. Using this technique, it is possible to monitor the emission of fluorescence by DNA-intercalating agents or labeled probes at each amplification cycle, which, being proportional to the DNA present in the reaction mixture, allows the real-time quantification of the target DNA and, thus, of the amount of the target microorganism. However, although more sensitive, intercalating dyes are not as specific as labeled probes. This drawback may be overcome by using the melting or the high-resolution melt (known as either hi-res melting or HRM) curve analysis of the obtained amplicons . To makeHowever, as stated above, DNA-based methods do not discriminate among viable or dead microorganisms, discrimination that can be achieved using culture-based approaches or flow cytometry methodologies ,72,93. PAmong the numerous diagnostic methods currently available to detect technological and probiotic microorganisms in food, biosensors are promising tools capable of providing high levels of faster and more automated surveillance. These analytical devices combine a sensitive biological element (the receptor) with a chemical or physical transducer to selectively and quantitatively detect the presence of a specific compound in a given environment . The selThe rapid evolution of micro- and nano-technologies has opened new horizons towards the integration and miniaturization of conventional sensing platforms, resulting in the so-called lab-on-a-chip devices that incorporate various laboratory processes in a miniaturized and semi-automated system. However, PCR requires a thermal cycler instrument, which significantly limits the potential miniaturization of the system . To overThe development and use of these integrated platforms for the detection and quantification of microorganisms are still limited to the detection of pathogenic microorganisms .The obvious advantages of these integrated and miniaturized technologies for the detection of technological and probiotic microorganisms lie in the reduction in the volume of reagents used and, therefore, the associated costs, as well as the reduction in time to results. Furthermore, the possibility of making the entire detection system portable and automated facilitates its use not only in the agri-food sector but also in other strategic sectors such as anti-fraud services, port and border control authorities, certification agencies/bodies of control of consortia for the protection of typical products, and public and private control laboratories.PCR amplification of variable regions of the 16S rRNA gene (for bacteria) or 18S or 26S rRNA gene (for yeasts and fungi) followed by denaturing gradient gel electrophoresis (PCR-DGGE) is another technique frequently used in recent decades to investigate the authenticity of probiotic and fermented foods and beverages. This PCR-based method is based on the separation, in a denaturing gradient gel, of amplicons of the same size but with different sequences, based on the differential denaturation (melting) profile . PCR-DGGBased on the same principle as PCR-DGGE, 16S metagenetic analysis and metagenomics may allow the characterization of fermented foods and the authentication of PDO and PGI products as well as that of probiotic foods. Metagenetics, also called amplicon sequencing, metabarcoding, metataxonomics, 16S metagenomics (targeting bacteria), 18S or 23S or ITS metagenomics (targeting fungi), consists of the PCR amplification of target genes from metagenomic DNA combined with sequencing and alignment against a reference database to detect the microbial composition of a microbial community .Lactobacillus helveticus dominated both natural whey starter cultures and the corresponding Caprino and Vaccino cheeses, two traditional cheeses produced in the same dairy farm, whereas Staphylococcus equorum and Streptococcus thermophilus dominated Cacioricotta and Pecorino cheeses, respectively, also produced in the same dairy plant. The parallel assessment of the enzymatic activities, degree of proteolysis, and concentrations of the main compounds involved in the sensory traits of these 4 traditional cheeses produced in the same dairy plant allowed the authors to highlight the distinctive features of these cheeses and to find the relationships between their microbiological and biochemical characteristics [As an example of using this technology to describe the microbial community of foods, Celano et al. , via 16Seristics . Also, 1eristics . For exaeristics combinederistics used a pHowever, metagenetics has drawbacks linked to the low discriminatory power of ribosomal RNA to identify phylogenetically closely related bacteria and fungi, apart from the biases of PCR amplification . These pDNA-based technologies are valuable tools to assess the authenticity of probiotic, PDO and PGI (fermented) foods and beverages. Several DNA-based methods are presently available , but, dePMA real-time PCR-based assays, being a multiplexed and high-throughput method, allow for the simultaneous qualitative\u2013quantitative detection of numerous probiotics or starter cultures directly from different food and beverage matrices. However, the primers and probes should be strain-specific to allow for the qualitative\u2013quantitative detection of the labeled probiotic strain or starter culture. In this context, the pangenome-based design of primers and probes specific to each target strain is worthwhile.If the necessity is to investigate the presence of extra species or of mislabeled species in probiotic food and beverages or to assess the authenticity of PDO and PGI fermented foods and beverages, it is necessary to use the whole microbiota as an authenticity marker. In this case, depending on the budget and equipment available, metagenomics or PCR-DGGE can be used. But while the sole microbial pattern of PDO and PGI fermented foods and beverages allows for their authentication, in the case of probiotic food and beverages, a quantitative detection method for viable microbes such as the use of PMA in combination with the above-mentioned methods or the employment of culturomics or flow cytometry in combination with these community fingerprinting techniques is mandatory."}
+{"text": "The gut microbiota is the largest symbiotic ecosystem in the host and has been demonstrated to play an important role in maintaining intestinal homeostasis. The symbiotic relationship between the microbiota and the host is mutually beneficial. The host provides important habitat and nutrients for the microbiome. The gut microbiota supports the development of the metabolic system and the intestinal immune system's maturation. Intestinal microbes ingest dietary components such as carbohydrates, proteins, and lipids, and the metabolites are reported to directly or indirectly affect human health. Therefore, there is an inseparable relationship between the gut microbiota and the nutrition of the host.Gut microbiota not only participates in the digestion, absorption, and synthesis of some nutrients but also regulates host metabolism. A detailed understanding of this relationship between gut microbiota and animal nutrition physiology is necessary to rationalize dietary interventions targeted at the gut microbiota in the future. The emergence of omics methods and research on the animal microbiome has completely changed our understanding of gut microbiota and nutritional physiology. This Research Topic (RT) focuses on all aspects of the research on digestive tract microorganisms and nutritional physiology.Yang, Wang, et al. explored the impact of different dietary ratios of amylose and amylopectin on the gut health and microbiome of weaned pigs during feed transitions or after exposure to the lipopolysaccharide toxin of Escherichia coli. Wang M. et al. investigated the effects of an herbal extract mixture on the gut microbiota and intestinal antioxidant capacity of weaning piglets. Zhou H. et al. researched the effects of administering all-trans retinoic acid (ATRA) to pregnant sows on the gut bacterial community of neonatal piglets with different genetic backgrounds. Zheng et al. looked into the mechanisms underlying the effects of beta-hydroxy-beta-methylbutyrate (HMB) on lipid metabolism in Bama Xiang mini-pigs. Li et al. compared the effects of compound enzymes and antibiotics on growth performance, nutrient digestibility, blood biochemical index, and intestinal health in weaned pigs. All these studies demonstrated that the dietary interventions could lead to alterations in the gut microbiome of pigs and piglets, suggesting improved gut health and physiological functions like resistance to bacterial toxins, enhanced anti-oxidative capacity, growth performance, etc.Various research articles submitted on this RT focus on the impact of specific dietary interventions on the microbiome and the physiology of certain farming animals, including pigs and piglets, lambs and goats, ducks, chickens, bullfrogs, and shrimps. Wang Q. et al. assessed the impact of different dietary energy levels in male Hu lambs during the fattening period, and Yang, Zhang, et al. assessed the effects of dietary supplementation with mannan oligosaccharide (MOS) on the passive transfer of immunoglobulin G (IgG), anti-oxidative capacity, immunity, and intestinal microbiota in neonatal goats. The first study suggested that the medium rather than the high dietary energy levels could be more appropriate during the lamb fattening period based on the changes observed in rumen fermentation, gastrointestinal tract histology, and microbiome diversity. The second study concluded that MOS could improve all parameters tested and thus its addition as a feed supplement for neonatal goats is suggested.Furthermore, Liu et al. and Peng et al. explored the effects on gut microbiota, growth performance, and intestinal morphology among other physiological parameters of dietary ferulic acid or Bacillus and non-starch polysaccharase, respectively. He et al. studied the effects of incorporating black soldier fly larvae meal (BSFLM) into the diets of Xuefeng Black-Bone chickens on their gut microbiota and intestinal morphology. The studies mentioned above indicated that the dietary interventions tested had positive effects on the gut health and productivity of poultry.An additional three studies focused on dietary improvements in poultry. In ducks, Wang Z. et al. analyzed the effects of supplementing autochthonous gut bacteria in plant-based diets on the growth, nutrient digestibility, and gut health of bullfrogs (Lithobates catesbeianus). Wang W. et al. looked at the effects of dietary supplementation with Phaffia rhodozyma astaxanthin on growth performance, carotenoid analysis, biochemical and immune-physiological parameters, gut microbiota, and disease resistance in the giant tiger prawn Penaeus monodon. Again, a positive influence was recorded for each of the interventions in the two organisms which could be related to the gut microbiome, gut physiology, and growth performance.The final two studies on farming animals were on organisms related to aquaculture. Wen et al. investigated the effects of heat stress on the gut microbiota and metabolomic profiles in mice. Heat stress was found to have a negative effect on the gut microbiome composition and caused metabolic alterations which could be related to inflammation and oxidative stress. Zhuang et al. studied the effects of resveratrol on growth performance, intestinal morphology, gut microbiota composition, and metabolism in mice. Zhai et al. unraveled the mechanisms underlying the effects of Eucommia ulmoides leaf extract (EULE) on colonic epithelium integrity in rats. Zhou D. et al. tested the application of phytic acid-degrading bacteria on mineral element content in mice. Wan et al. checked the effects of caffeic acid supplementation on colonic inflammation, oxidative stress, and gut microbiota in mice. Resveratrol had a positive impact on all physiological and morphological parameters tested. EULE supplementation led to improvements in colonic epithelium integrity, accompanied by a reduction in inflammation and oxidative stress. EULE action was found to be mediated through the gut microbiota-bile acids-TGR5 axis. Degradation of the anti-nutrient phytic acid, which binds to minerals and inhibits their absorption in the gut, led to their increased absorption and utilization. This effect was accompanied by positive alterations in the composition of the gut microbiome. Moreover, caffeic acid supplementation led to reductions in colonic inflammation and oxidative stress along with positive changes in the gut microbiota composition. The antioxidant and anti-inflammatory effects of caffeic acid were associated with changes in the level of gene expression.The next five studies were performed in mice or rats as the model organisms. Lonicera japonica extracts (LJE) in animal production, with a focus on their effects on intestinal health. In this review, Tang et al. discussed the mechanisms underlying the positive effects of LJE on the gut microbiota, gut barrier function, and immune function. Overall, the review suggested that LJE has potential applications in animal production for promoting gut health, enhancing animal performance, and reducing the need for antibiotics. In the second review, Yang Y. et al. presented recent research on the relationship between cow's milk protein allergy (CMPA) and the gut microbiota in infants. The authors suggested a relation between CMPA and gut dysbiosis, as well as the potential use of probiotics, prebiotics, and synbiotics in the prevention and management of CMPA. In the third and final review, Hu et al. discussed the potential applications and functions of prophage activation in the intestine. The study highlighted that prophage activation could play a role in the modulation of gut microbiota composition and function, in the treatment of disease and infection , as well as in engineering the microbiome .Finally, three review articles were published in the RT. The first concentrated on the potential use of The studies featured in this RT encompass significant contributions from diverse authors, highlighting the multifaceted aspects between nutritional physiology and the gut microbiome in animal and human health.All authors listed have made a substantial, direct, and intellectual contribution to the work and approved it for publication."}
+{"text": "Infection of the bone is a difficult problem in orthopedic diseases. The key and basis of the treatment of bone infection is the effective control of local infection, as well as the elimination of infection focus and dead cavities. The most commonly used approach utilized for the prevention and management of bone infection is the application of antibiotic bone cement. However, the incorporation of antibiotics into the cement matrix has been found to considerably compromise the mechanical characteristics of bone cement. Moreover, some investigations have indicated that the antibiotic release rate of antibiotic bone cement is relatively low. Polyetheretherketone (PEEK) and its composites have been considered to perfectly address the challenges above, according to its favorable biomechanical characteristics and diverse surface functionalizations. This article provides a comprehensive overview of the recent advancements in the antimicrobial modification of PEEK composites in the field of antibacterial therapy of bone infection. Furthermore, the potential application of PEEK-modified materials in clinical treatment was discussed and predicted. Staphylococcus aureus, Methicillin-resistant S. aureus (MRSA), Escherichia coli, Pseudomonas aeruginosa, Streptococcus, and others are prevalent pathogens , resembling that of bone tissue . FurtherIt was widely reported that poor osseointegration and bacterial infections had been identified as the primary factors contributing to the failure of PEEK and its composite implants . The bacThe initial stage in the pathophysiology of foreign body infection is thought to involve bacterial adhesion to the surface of biological material . Followicocci infections, owing to its ability to eliminate a vast majority of gram-positive bacteria and various drug-resistant bacteria , a glycopeptide antibiotic, can inhibit the synthesis of bacterial cell walls. This inhibits bacterial reproduction and proliferation. Van has emerged as an efficacious antibiotic for the treatment of drug-resistant bacteria . Van witubstrate . The Zn via PDA coating, followed by its combination with gelatin methacrylate (GelMA) and subsequent application onto the biologically inert sulfonated PEEK (SPEEK) (Gentamicin sulfate (GS) and tobramycin (TOB) are aminoglycoside antibiotics. TOB inhibits the synthesis of bacterial proteins. Polydopamine (PDA) possesses good adhesion and antioxidation , which c (SPEEK) . As show (SPEEK) . This in (SPEEK) .in vitro. The utilization of PEEK with co-administration of diverse antimicrobial agents had been shown to enhance the osseointegration and antibacterial efficacy of biomaterials, which exhibits considerable clinical potential.The simultaneous administration of multiple medications and the exploitation of the combined effects of antibiotics potentially enhanced the antibacterial and biocompatible properties of PEEK. S. aureus while maintaining outstanding mechanical properties and plant polyphenols have received a great deal of attention and research in recent years because of their clinical application potential for antimicrobial resistance and biocompatibility.via electrostatic contact. By regulating the immune response of the host, AMPs assisted in the indirect elimination of the pathogen from the host could proliferate osteogenically when the BMP/Smad signaling pathway was stimulated by KR-12 . The pos in vivo . To incr in vivo . It was in vivo . MBD-14 in vivo .in vivo are insufficient. Research in this field is still primarily focused on better AMP stability, higher selectivity, and reduced toxicity. Developing an effective dosing schedule, combining AMPs with other compounds to increase their antibacterial efficacy, and other measures will be necessary for the clinical application of AMPs was carefully prepared by cold pressing and sintering (E. coli and S. aureus in vitro because of the synergistic interaction between the -SO3H group and the continuous release of genistein. Plant polyphenol chlorogenic acid (CGA) was predominantly extracted from Fols Lonicerae. In order to solve the problem of large area defect and related infection in clinical bone grafting, CGA was loaded on the surface of SPEEK using a hydrogel system (E. coli and S. aureus and minimizing the probability of early implant infection. Curcumin (CR) is a polyphenol compound produced by turmeric extract that inhibits the replication of bacteria and fungi as well as inflammation and oxidation , a type of photothermal catalyst provided with unique single-layer carbon atomic nanosheet structure and excellent intrinsic antibacterial effect , has bee in vivo . Accordi in vivo . Ouyang,via electrostatic interaction, controlled cell adhesion, and stimulated specific gene expression. Consequently, the synergistic effect of GO/Dex-loaded liposomes increased cellular adhesion and migration, as well as improved cellular biocompatibility.Furthermore, the antibacterial activity and biocompatibility of PEEK were significantly improved by synergistic effect of photothermal catalysts and antimicrobial agents. Ouyang, et al. modifiedin vitro and in vivo. Meanwhile, bio-persistence of GO in the human body might have an impact on pathology and immunology Strategies including strong acid sulfonation, and 3D printing make sure the enhancement of the surface roughness of PEEK, augmentation of the hydrophilicity and promotion of the adhesion of osteocyte and bacteria. 2) Establishment of optimal dose and the appropriate controlled-released system to achieve the balance between therapeutic efficacy and cytotoxicity. 3) According to the characteristics of bone infection, such as dead cavity, local infection, bone defection, and so on, multifunctional formulation with antibacterial, osteointegration, and osteogenesis is also an important future direction of modified PEEK in bone infection."}
+{"text": "Dear Editor,A 34-year-old white female complained of vertex alopecia for six years, associated with pruritus and local burning sensation. She reported that, since the onset of the condition, she observed the development of pustules at the periphery of the lesion. She denied comorbidities or ongoing medication use. She reported having had cycles of trimethoprim-sulfamethoxazole for 60 to 90 days, with partial improvement. The examination disclosed cicatricial alopecia area on the vertex region of the scalp, with follicular pustules at the periphery, erythema and areas with polytrichia . Dermosca)Folliculitis decalvansb)Folliculitis decalvans and lichen planopilaris phenotypic spectrumc)Centrifugal cicatricial alopeciad)Lichen planopilarisFolliculitis decalvans and lichen planopilaris phenotypic spectrum (FDLPPPS) is a recently described cicatricial alopecia, more prevalent on the vertex of the scalp in adults, which combines clinical and histopathological features of two other alopecias: lichen planopilaris (LPP) and folliculitis decalvans (FD), presenting with lymphocytic and neutrophilic inflammatory infiltrates, respectively.Staphylococcus aureus induces a biofilm that stimulates the innate immune response, perpetuating the neutrophil-mediated inflammatory process.3The pathogenesis of LPP and FD is still poorly understood; however, whereas in LPP there is activation of TCD8+ lymphocytes and loss of follicular immune privilege, in DF the presence of The etiology of FDLPPPS is still under discussion, given the coexistence of both inflammatory processes. It has been suggested that dysbiosis of the DF follicular microbiome may induce the exposure of follicular autoantigens, stimulating a Th1 response pattern.4As for the clinical picture, patients with FDLPPPS usually show a sequential biphasic process with the characteristics of FD preceding LPP, or even concomitant clinical characteristics: areas of cicatricial alopecia with follicular pustules, erythema and perifollicular desquamation, which may evolve with polytrichia, as in the present case.6Regarding histopathology, a mixed infiltrate is observed in the infundibulum region, with destruction and atrophy of the follicular epithelium and prevalence of plasma cells and histiocytes, in contrast to the predominance of neutrophils in the FD and lymphocytes in the LPP.8There is yet no standardized treatment for FDLPPPS, given its recent description. However, treatments used in FD and LPP are usually associated, such as corticosteroids, sulfonamides, doxycycline, retinoid antimalarials, and immunosuppressants, according to the predominance of clinical and trichoscopic characteristics. In this case, oral hydroxychloroquine 400\u202fmg/d and isotretinoin 30\u202fmg/d, and clobetasol 0.05% gel were introduced, with stabilization of the condition after six months. The rationale for choosing anti-inflammatory drugs and oral retinoids was based on the predominance of clinical and trichoscopic signs of the LPP spectrum, in this case, mainly after previous treatment with antibiotics, aiming to reduce the neutrophil activity intensity.The cases described in adults and children with FDLPPPS do not seem to reach a large area of the scalp, despite the delay in its diagnosis.8Dermatologists should be aware of the diagnosis of FDLPPPS in the presence of less characteristic cases of cicatricial alopecia on the vertex of the scalp, with pustules, erythema and follicular desquamation, in which the inflammatory infiltrate is mixed, or with alternating patterns in subsequent biopsies, and containing plasma cells.None declared.Miola AC: Design and planning of the study; collection, analysis and interpretation of data; critical review of the literature; critical review of the manuscript; writing and approval of the final version of the manuscript.Ramos PM: Critical review of the literature; critical review of the manuscript, writing and approval of the final version of the manuscript.Miot HA: Design and planning of the study; effective participation in research orientation; critical review of the literature; critical review of the manuscript, writing and approval of the final version of the manuscript.None declared."}
+{"text": "The development of vaccines against the SARS-CoV-2 virus has become a big challenge for many countries in 2020-2022. mRNA vaccines were shown to be effective and safe and have been widely used worldwide in the fight against the COVID-19 pandemic. The fundamental factor in creating mRNA vaccines, which ensures effective delivery of mRNA to the host cells, is the composition of lipid nanoparticles, namely the presence of ionized charged lipids, which ensures the binding of mRNA molecules. However, the significant role of liposomes in the development of liposomal vaccines and identification of immunochemical reactions involving lipids should be assessed in the context of the development of the pioneering idea of August Wassermann about the use of liposomal antigens in the diagnosis and immunoprophylaxis of serious human diseases.The review is devoted to the use of liposomal antigens as antigen-delivery systems for diagnosis and immunoprophylaxis.Studies of cardiolipin antigen in serodiagnosis of syphilis became the foundation of antibodies in diagnosing various infectious diseases and pathological conditions, such as tuberculosis, lupus erythematosus, COVID-19, borreliosis, etc. Identification of antiphospholipid antibodies (mainly anticardiolipin) and today is the most important diagnostic tool for antiphospholipid syndrome.The liposomal system first proposed in 1906 for the diagnosis of syphilis evolved more than a century later into mRNA vaccines, which are used today in the fight against the COVID-19 pandemic. Treponema pallidum (syphilis) in humans using the complement fixation reaction with lipid antigens (Ag), called \u201cWassermann reaction\u201d , differing in qualitative and quantitative composition . . 9-11]. e.g. DPG, phosphatidylglycerol (PG), phosphatidylserine (PS) or phosphatidic acid (PA)), neutral lipid and Chol was offered ..55].Similarly to classical liposomes , the catThe algorithm for polylipid composition design of mRNA vaccine aims to form LNP and encapsulate the mRNA into its structure due to the interaction of the anionic phosphate backbone of the mRNA with the ionized lipid. In the design process, the mRNA contacts four lipids in a water-organic environment under the control of pH level and hydrophobic-hydrophilic balance to ensure the binding of the mRNA to the ionized lipid. Bound mRNA is identified in the inner cavity of multilayer LNPs formed by complementary lipid components. In this case, DSPC forms the main bilayer of the liposomal membrane, and the presence of PEG-lipid and Chol ensures optimal hydrophilicity, stability, and size of LNPs with encapsulated mRNA.A liposome-based vaccine candidate EG-COVID differs from the composition of Pfizer-BioNTech product, consists of DOTAP , DOPE and Chol, induces stable humoral and cellular immunity to the SARS-CoV-2 virus, and suppresses the SARS-CoV-2 viral infection in Vero cells . The optIn conclusion, the significant role of liposomes in the development of liposomal vaccines against COVID-19 and the identification of immunochemical reactions involving lipids should be assessed in the context of the development of the pioneering idea of August Wassermann about the diagnostic use of liposomal antigens in the creation of innovative liposomal preparations for the diagnosis and immunoprophylaxis of serious human diseases. Thus, the liposomal system first proposed in 1906 for the diagnosis of syphilis evolved Conflict of interest: The author declares no conflict of interest."}
+{"text": "The COVID-19 pandemic has had significant consequences, impacting not only physical health but also mental wellbeing, social interactions, and economic stability . These eMental Illness, Culture, and Society: Dealing with the COVID-19 Pandemic\u201d builds upon the previous five volumes is a serious global issue that threatens healthcare workforce retention and health system resilience, especially during the fragile post-COVID \u201cnormalization\u201d period. The authors used a comparative approach, analyzing the epidemiological, political, and geographic contexts of Brazil, the United Kingdom, New Zealand, and Germany to identify similarities and differences in violence against HCWs. Overall, the results showed a general sensitivity of HCWs to violence, with women, nurses, and migrant/minority groups being particularly exposed. The authors emphasized the need for attention to this topic and to all forms of violence in the world.Huang et al. aimed to compare depressive symptoms among HCWs in high-risk areas (HRAs) and low-risk areas (LRAs) during the initial stage of the COVID-19 pandemic in China. The results showed that HCWs in LRAs had 1.96 times higher odds of having depressive symptoms than those in HRAs. There were also significant differences in workplace environment characteristics and the Health Belief Model between the two groups. The study highlighted the importance of considering the mental health of HCWs, especially in LRAs, and tailoring interventions to their specific needs.The study by Savu et al. aimed to determine the mediating role of HCWs' perception of their own health on pandemic stress, work-family conflict, work engagement, meaning and commitment to work, satisfaction of basic psychological needs, patient care, and burnout symptoms. The authors identified significant correlations between the investigated variables. In particular, HCWs with a positive perception of their own health were better at managing pandemic stress, burnout effects, and work-family imbalances.The study conducted by Ayub et al. reviewed the impact of the COVID-19 pandemic on religious activities and beliefs, and explored the potential role of religious leaders and communities in mitigating the pandemic's impact through public health measures and community engagement. The authors identified the following main themes: the relationship between religious practices, beliefs, and the spread of COVID-19, and the role of religious leaders and faith communities in coping with and mitigating the impact of COVID-19. The review highlighted the essential role of religious leaders, faith-based organizations, and faith communities in promoting education, preparedness, and response efforts during the pandemic. The importance of collaboration between religious leaders, institutions, and public health officials was also emphasized.Ryu et al. aimed to understand COVID-19 vaccine acceptance and related factors among 572 individuals with mental disorders residing in Korea. Clustering revealed three groups in relation to vaccine acceptance: totally accepting, somewhat accepting, and hesitant groups. Individuals in the high vaccine acceptance group were older, more likely to receive the influenza vaccine regularly, and more likely to trust formal information sources. The study highlighted the importance of understanding the behavioral and psychological characteristics associated with vaccine acceptance, to be able to effectively communicate its importance to individuals with mental disorders.Carbone and Knapp investigated the use of mandatory psychiatric treatments during the COVID-19 pandemic, with a focus on the first and subsequent phases. Interviews were conducted with mental health care professionals and scholars from four countries. The analysis identified four major themes: the culture of psychiatric care services, the effect of the pandemic on involuntary hospitalizations, exceptional management of hospitalization to reduce infection spread, and policies and suggestions for more inclusive mental health treatments. The study found that during the first wave, there was a decrease in the use of involuntary treatments, while a gradual increase was observed in the following months.Qiao et al. documented the unique challenges faced by rural black women during the COVID-19 pandemic and tried to highlight their needs for effective management of social, physical, and mental health challenges. The study aimed to inform evidence-based decision-making for policymakers and to contribute to the development of public health emergency preparedness plans. This would help promote the resilience of rural Black women and their families during future infectious disease outbreaks and other public health emergencies.With their study protocol, Park et al. examined the connections between pandemic-related factors and anxiety/depressive symptoms in young adults from South Korea and the U.S.. The findings from 1,123 participants collected during the COVID-19 lockdown period showed similar network structures in both countries, suggesting a consistent relationship between the pandemic and internalizing symptoms, irrespective of sociocultural differences. COVID-related stress and negative anticipation of the future were identified as key factors connecting pandemic-related elements to psychological distress.The study by Du discussed the impact of the COVID-19 pandemic on community-centered engagement and healthcare services. The author particularly described the experiences of migrant workers in Singapore and community volunteers in Shanghai and the effectiveness of coordinated community efforts in providing essential supplies and support during lockdowns Du. The article also emphasized the role of community health centers in testing and vaccination programs, especially among marginalized populations.Finally, In brief, the articles collected in the Sixth Volume of this Research Topic provide a novel perspective on the pandemic's impact on mental health, further emphasizing the role of sociocultural, economic, and individual factors in this interplay. The influence of COVID-19 on psychiatry and mental health is significant and enduring. Further clinical and epidemiological research is necessary to address the vulnerabilities of the most fragile segments of society.All authors listed have made a substantial, direct, and intellectual contribution to the work and approved it for publication."}
+{"text": "Nyatega et al.) \u20139. The d et al.) , 11. An et al.) , studies et al.) , 14, phy et al.) , 16 and et al.) . These t et al.) . Recent et al.) , 20 and Therefore, in this Research Topic, we present a collection of articles that showcase recent advances in neuroimaging and non-invasive brain stimulation techniques and their application to the study of the brain's structural and functional organization.Understanding the brain's structure and function is vital in the diagnosis and treatment of neuropsychiatric disorders. Advances in neuroimaging and NIBS techniques have enabled researchers to explore the underlying mechanisms of disorders such as depression, SCZ, anxiety and post-traumatic stress disorders , 21, 22.These articles demonstrate the applications of neuroimaging in studying drug abuse, bipolar disorder (BP), dysmenorrhea, white matter lesions (WML), functional dyspepsia (FD), and SCZ. The meta-analysis of cocaine addiction shows how drug abuse affects the brain. The study on BP reveals the relationship between cerebral WML and the incidence of BP. The investigation of primary dysmenorrhea offers insights into the relationship between pain and the brain, while the exploration of differential brain responses to meal ingestion in FD patients provides a better understanding of this meal-induced syndrome. Finally, structural magnetic resonance imaging studies provide insights into the pathophysiology of SCZ.Dang et al. These findings suggest that drug addiction is a complex neurobiological disorder and not solely a behavioral problem. Identifying the specific brain regions and circuits impacted by cocaine addiction can help develop new treatments targeting these neural mechanisms . These findings provide valuable insights into the structural and functional organization of the brain in individuals with BD . These findings provide insights into the structural and functional organization of the brain in FD patients and may have implications for the diagnosis and treatment of neuropsychiatric disorders involving visceral hypersensitivity and emotional dysregulation (gulation , 34. OveAdamu et al.'s structural MRI study sheds light on the pathophysiology of SCZ, showing that individuals with the disorder have structural brain abnormalities linked to specific symptom clusters and cognitive impairments. The study also highlights the use of machine learning to identify patterns of brain structure associated with symptoms and impairments. The findings contribute to our understanding of the structural and functional organization of the brain in neuropsychiatric disorders and could improve diagnosis and treatment (reatment , 36. By The articles in this Research Topic highlight the importance of continued research on the structural and functional organization of the brain and its potential impact on the diagnosis and treatment of neuropsychiatric disorders \u201341. The MT, MD, and SB contributed to conception and design and wrote sections of the manuscript. MT wrote the first draft of the manuscript. All authors contributed to manuscript revision, read, and approved the submitted version."}
+{"text": "Dear Editor,A 64-year-old female patient has complained of darkening and deformity of the nail of the third left finger for two years. On examination, onychodystrophy, slight subungual thickening, and irregularly pigmented longitudinal melanonychia (LM) measuring 3\u202fmm were observed A. Dermosin situ, has a variable record of its frequency, possibly due to failure in its recognition or underreporting. On the other hand, SCC is the most common neoplasm of the nail apparatus, often with late diagnosis. Typically, ungueal BD presents as subungual hyperkeratosis or a verrucous lesion of the nail plate or bed; with periungual erythema and paronychia associated with crusts, ulcerations, or fissures, onychocryptosis, and/or nail dystrophy, and rarely with LM.Ungueal BD, or squamous cell carcinoma (SCC) Exogenous pigment deposits , blood, and melanin are frequent causes nail plate and nail bed pigmentation, and melanocytic activation and benign melanocytic nevi are the most common causes of LM in adults and children, respectively. However, about 2/3 of ungueal melanomas present clinically as LM.Some clinical criteria should raise the index of suspicion of melanoma in acquired LM in adults: the presence of heterogeneous pigmentation in bands or lines of variable colors, fissures or clefts in the nail plate, especially in the distal region (triangular shape), the sudden appearance of nail plate pigmentation, and blurring of the nail fold edges.Digital pigmented BD mimics melanoma and may show a chaotic pattern on dermoscopy: atypical parallel pattern of grooves and ridges, and a chaotic pattern with segmental radial lines suggestive of melanoma, associated with other dermoscopic characteristics suggestive of BD, such as squamous surface and linear arrangement of dotted vessels.LM dermoscopy is limited to the observation of the distribution of pigment deposited in the nail plate, and the underlying lesions can be misinterpreted, which is why intraoperative dermoscopy becomes relevant. Hirata et al. defined four patterns of intraoperative dermoscopy of the nail matrix and nail bed in LM: regular gray, regular brown, regular brown with globules or spots, and irregular pattern.Among dermoscopy findings, hyperkeratosis located on the free edge of the nail plate was the criterion significantly associated with subungual SCC.Despite the clinical and dermoscopic findings of the nail plate, and intraoperative dermoscopic findings of the nail bed and matrix raising the suspicion of melanoma, histopathological evaluation did not show proliferation of atypical melanocytes, confirmed by negative immunohistochemistry for HMB45 and S100 protein. Positive immunohistochemistry for AE1/AE3, an antibody against human epidermal keratins, therefore, a marker of normal epithelial cells, carcinomas, and other tumors with epithelial differentiation such as BD, revealed the epithelial nature of the neoplasm in the present case.Pigmented BD of the nail apparatus is a rarely diagnosed neoplasia and should be considered in the differential diagnosis of LM, particularly in the differential diagnosis with nail melanoma.A careful evaluation and management of patients with nail pigmentation, taking into account clinical features, dermoscopy of the nail plate, and intraoperative examination of the nail matrix and nail bed can help rule out common causes of nail pigmentation; however, the histopathological examination still remains the reference to confirm the diagnosis of the lesion which is determining LM.None declared.Guilherme de Medeiros Holanda: Design and planning of the studied case; collection, analysis and interpretation of data; intellectual participation in the propaedeutic and/or therapeutic conduct of the studied case; critical review of the literature; drafting and editing of the manuscript.Bruno de Carvalho Fantini: Design and planning of the studied case; collection, analysis and interpretation of data; intellectual participation in the propaedeutic and/or therapeutic conduct of the studied case; approval of the final version of the manuscript.Guilherme Raya Ravelli: Approval of the final version of the manuscript; intellectual participation in the propaedeutic and/or therapeutic conduct of the studied case.Cacilda da Silva Souza: Design and planning of the studied case; collection, analysis and interpretation of data; critical review of the literature; drafting and editing of the manuscript; approval of the final version of the manuscript.None declared."}
+{"text": "In this Research Topic, we explore health policy and systems research at the nexus between urbanization and health. The global trend of urbanization will not abate in the near future and the related challenges are many. Low- and middle-income countries (LMICs) are observing a continued expansion of informal settlements, residential segregation, a double burden of life-long conditions and (re-emerging) infectious diseases. Important socio-ecological challenges relate to urban sprawl, unregulated economic activities, pollution, and environmental degradation. A central concern in LMICs is the impact of urbanization on equity and social inclusion , 2.community, experiential, environmental, and structural policy level\u201d . Their study uses modeling in management of urban emergencies and illustrates how such techniques can improve decision-making in crisis situations when uncertainty is high.The occurrence of natural disasters and other large-scale emergencies represents another aspect of urban health that transcends sectors and dimensions. Almasi et al. and Banke-Thomas et al. report on the integration of geographical data in urban health policy and system analysis. Almasi et al. investigated the location of medical laboratories in Kermanshah (Iran) and its impact on access to laboratory services. The authors used a combination of GIS-based mapping of facilities and network analysis to map locations of laboratories and their accessibility for urban residents. They found coverage gaps in specific areas of the city, pointing to inequitable distribution of facilities and access problems. Banke-Thomas et al. investigated how, in big cities, the travel time of pregnant women requiring urgent care can be estimated using Google Maps data. The authors developed a method to estimate the travel time of women requiring Emergency Obstetric Care in Lagos (Nigeria). Next, they plan to co-create dashboards with urban health policymakers and data companies, which will combine data on travel time with data on the functionality of hospitals. Similar to Almasi et al., they highlight inequities related to the place of residence. Such approaches could contribute to a better understanding of how the urban advantage can become a disadvantage for those living in underserved areas developed local initiatives for evidence building and information distribution during the COVID-19 wave of July 2020. Family practitioners considered that the contact tracing system set up by the Flemish government would be ineffective in their superdiverse neighborhoods. In < 2 weeks and in close collaboration with city and provincial authorities, they set up a successful alternative system of COVID coaches in support of contact tracing and self-isolation. This study illustrates how in situations of high uncertainty, national responses can and must be adapted to local contexts. Yet, this requires a strong learning culture, embedded in adaptive governance arrangements, and the importance of incorporating local innovations into broader policies and programs identify systemic relations within the spatial context, (b) facilitate integration of quantitative and qualitative data, and (c) guide the formulation of policy recommendations, informing public and urban health planning.\u201d They illustrate this in a study on malaria in Jimma (Ethiopia) and on tuberculosis and COVID-19 in Lima (Peru). Fang et al. addressed another intersecting set of challenges: aging, rapid urbanization, and increasing digitisation of social spaces and resources. This requires cities and communities to develop age-friendly community ecosystems that put intergenerational relationships at the center. The authors adopted a community-based participatory research approach and co-creation methods to co-create recommendations for research, policy, and practice. The paper illustrates how Bronfenbrenner's ecological systems theory provides a multi-level framework to assess how wellbeing is shaped an interplay of micro- and macro-level factors.Unpacking the relationships between the social, political, economic, infrastructural, and ecological determinants of health in cities is key to understanding urban health. This requires multidisciplinary approaches and multi-actor knowledge production. Two papers address this methodological challenge. The papers included in this Research Topic present unique methodological, empirical, and practical contributions that speak to the complex nature of the urbanization-health nexus. Yet, they also show that research into urban inequities, residential segregation and social exclusion merits more attention. More research is also needed on the dynamic interplay between cities, the national and the global level regarding health. National development plans and urban policies shape cities. Cities have open boundaries through which people migrate continuously. Cities are also players in networked global markets and are hubs in global disease transmission patterns. Moreover, the interface between global warming and health calls for more research on intersectoral action for climate-resilient urban health systems.This Research Topic shows that interesting and innovative research is being done at the still little explored frontier of urbanization and health. In these turbulent times, the challenges confronting urban planners, managers, and researchers, as well as people, providers and communities are only amplified. The Health Policy and Health System Research community will need to rise up to contribute to making cities healthier for its people through more innovative studies.All authors contributed to the conceptualization, drafting, and final revision of this editorial."}
+{"text": "Consumers are increasingly demanding higher quality meat products. However, meat products manufactured using traditional processing procedures are often perceived as unhealthy or hazardous foods, due to the significant amounts of sodium chloride added, the excessive accumulation of harmful substances, and the abnormal growth of spoilage microorganisms. Green processing is a new concept aiming to meet the challenges of the 21st century, and should be the result of a whole chain of values to protect both the environment and consumers. In the meantime, it will hopefully drive industries to be more ecologic, economic, and innovative. Green technologies show great potential in decreasing or preventing the formation of hazardous substances, increasing the shelf life, and maintaining the sensory attributes and nutritional qualities of meat products during the manufacturing of food. Thus, this topic will discuss the effect of green processing on the mechanism of quality development of meat and meat products from the perspective of chemical and biochemical composition and structure changes in molecules during the processing of meat products, as well as the chemistry related to the major components of meat products, and their nutritional, physiological, sensory, flavor, and microbiological properties.This Special Issue is made up of eighteen research articles aiming at providing up-to-date research on the abovementioned aspects related to raw meat, by-products, meat products, and advances made in meat quality assessment. The different works can be assigned to four distinct groups. One portion of these studies focused on the quality assessment of raw meat; another portion of these studies investigated the antioxidant, gelling, and emulsion properties of proteins; another portion characterized the spoilage of meat and meat products; and the remaining portion mainly evaluated the flavor and texture of processed meat products.Regarding the quality assessment of raw meat, Cao et al. highlighClostridium and Pseudomonas are the key genera involved in this process. Pseudomonas lundensis exhibited the strongest spoilage potential during the storage of chilled chicken [Clostridium was mainly responsible for the spoilage in deeply spoiled ham [Clostridium perfringens [Pseudomonas was also inhibited by the chitosan/collagen peptides/cinnamon bark essential oil composite coating [Green processing has a significant effect on the functional properties of meat proteins, and on decreasing or preventing the spoilage of meat products. The improvements in the gelling, rheology, and emulsion properties of meat protein were highlighted using typical green technologies, including ultrasonication, high-pressure homogenization, and isoelectric solubilization/precipitation ,7,8. Sev chicken ; Clostriiled ham . The comfringens . Further coating .Texture and flavor are the key parameters of fermented and spiced meat products. The addition of halogen and spicy flavors showed a positive effect for the relative content of alkanes and ketones during the processing of a Midu pork roll . Zhang e"}
+{"text": "Energy management methods (EMMs) utilizing sensing, communication, and networking technologies appear to be one of the most promising directions for energy saving and environmental protection of fuel cell vehicles (FCVs). In real-world driving situations, EMMs based on driving cycle information are critical for FCVs and have been extensively studied. The collection and processing of driving cycle information is a fundamental and critical work that cannot be separated from sensors, global positioning system (GPS), vehicle-to-vehicle (V2V), vehicle-to-everything (V2X), intelligent transportation system (ITS) and some processing algorithms. However, no reviews have comprehensively summarized the EMMs for FCVs from the perspective of driving cycle information. Motivated by the literature gap, this paper provides a state-of-the-art understanding of EMMs for FCVs from the perspective of driving cycle information, including a detailed description for driving cycle information analysis, and a comprehensive summary of the latest EMMs for FCVs, with a focus on EMMs based on driving pattern recognition (DPR) and driving characteristic prediction (DCP). Based on the above analysis, an in-depth presentation of the highlights and prospects is provided for the realization of high-performance EMMs for FCVs in real-world driving situations. This paper aims at helping the relevant researchers develop suitable and efficient EMMs for FCVs using driving cycle information. Energy shortage and environmental pollution are urgent problems that all countries in the world need to face . AcademiPrevious studies have shown that driving cycle information can make a difference in vehicle energy management ,13,14. IDriving cycle information is very critical for the development of EMMs, mainly reflected in the current driving patterns and future driving characteristics. However, in real-world driving situations, the driving cycle changes in real time. Consequently, obtaining current and future driving cycle information is a difficult and inaccessible task. As a matter of fact, some papers have proposed some EMMs considering driving cycle information for FCVs, mainly based on driving pattern recognition and future driving characteristic prediction. It is noticed that recent reviews have stated the advances progress in energy management methods for fuel cell vehicles ,23,24,25Motivated by the literature gap, this review mainly focuses on the technologies and progress of EMMs for FCVs from the perspective of driving cycle information, and strives to be comprehensive and innovative. The main contributions of this review are as follows: (i) providing a state-of-the-art understanding of EMMs for FCVs from the perspective of driving cycle information; (ii) providing a detailed description for driving cycle information analysis, including driving cycle collection and processing; (iii) providing a comprehensive summary of the latest EMMs for FCVs, with a focus on EMMs based on driving pattern recognition and driving characteristic prediction; and (iv) providing an in-depth presentation of the important highlights and prospects regarding the innovation of EMMs for FCVs. This review hopefully accelerates the realization of high-performance EMMs for FCVs in real-world driving situations.The rest of this review is organized into several sections: As the driving cycle is discerned as the input of the EMMs for FCVs, its information would affect the control performance of EMM extremely ,26. In aWith the development of intelligent networking technology, information and communication technology and big data technology, it is no longer difficult to collect and analyze the driving cycle. In recent years, global positioning system (GPS) receivers , on boarDue to the influence of the driving environment, jamming signals, zero drift, and buildings, the driving information collected often exhibited bad data . Bad datThe preprocessed driving cycle can be divided into some kinematic segments to reduce the complexity of subsequent processing. This segmentation is performed for the driving cycle characteristics analysis . DrivingPrevious studies have shown that driving pattern can greatly influence the effectiveness of EMMs ,57,58. FIn other studies of this area, supervised algorithms are adopted to recognize the vehicle driving pattern , such asThe driving cycle of a vehicle can be predicted by driving characteristic prediction (DCP) techniques, and the results indicate the current or future driving characteristics of the vehicle, like velocity and acceleration ,71. The The other is DCP based on positioning, sensing, interaction-aware, and other traffic information service technologies, such as V2X, V2V, and ITS ,82,83. TAs mentioned above, FCVs are one of the most promising future vehicles , and suiPrevious studies have extensively studied the EMMs of FCVs to improve energy efficiency and durability. The EMMs of FCVs can be divided into three major categories: (i) rule based, (ii) optimization based, and (iii) other based, as shown in As a new research hotspot in the field of artificial intelligence (AI) and internet of vehicles (IOV), learning-based and cycle information-based EMMs have been applied to achieve the optimal fuel economy of FCVs in real time ,111. ProIn recent years, to improve the performance of the EMMs for FCVs, research on driving pattern recognition has been proposed ,119,120.Moreover, to further improve the comprehensive economy of FCVs and extend the life of the ESSs, optimization algorithms and learning algorithms were combined and adopted in the design of EMMs. In , a genetCompared to the related research on the EMMs for FCVs based on driving pattern recognition, research on the EMMs for FCVs based on driving characteristic prediction is more extensive and in-depth due to the promotion of the intelligent process of NEVs ,131,132.Accurate driving pattern recognition: The accuracy of driving pattern recognition is crucial for the development and implementation of EMMs. However, recognition accuracy and algorithm complexity are interrelated. Some advanced recognition algorithms in the existing literature have the problem of low recognition accuracy. In the future, the sampling time, the selection of characteristic parameters, and the recognition period can all be combined with advanced recognition algorithms to construct recognition methods with excellent recognition accuracy and efficiency.Short-term driving characteristic prediction: Affected by the impacts of real-world driving conditions, the driving characteristics of vehicles will change in real time. Therefore, short-term driving characteristic prediction remains a hot and challenging issue, as it depends on various factors like the prediction method and traffic conditions. In the future, with the help of V2V, V2X, ITS and predictive algorithms, driving characteristics like speed, mileage, slope, and traffic signal light states can be predicted in the short term.Real-time energy management optimization: Ideal energy management optimization methods can adaptively generate effective control decisions considering the DPR and DCP results. However, most current energy management optimization methods are difficult to apply to real vehicles. Advanced algorithms bring up more possibilities of real-time energy management optimization which are worth exploring. In the future, real-time/online/adaptive EMMs will be considered for supplying an excellent control effect.Integrated driving style recognition: Even the same driver can exhibit different driving styles under different road conditions, and different driving styles can directly affect the energy management of the FCVs. Therefore, introducing the influence of driving styles into the EMMs for FCVs will be valuable and crucial. However, driving style is often described qualitatively, and is not integrated into the EMMs. In the future, integrated driving style recognition of drivers in real social driving networks will improve the effectiveness of EMMs for FCVs.In order to improve the energy economy and prolong the powertrain system durability of FCVs, it is urgent and meaningful to develop suitable and efficient EMMs. As driving cycle information is extremely important in EMMs for FCVs, some studies have studied driving cycle information collection and processing, which lay the foundation for the development of EMMs based on driving cycle information. This paper provides a state-of-the-art understanding and a detailed overview of EMMs for FCVs from the perspective of driving cycle information. More specifically, this paper comprehensively reviews studies on driving cycle information analysis and the EMMs for FCVs, which mainly focuses on EMMs based on DPR and DCP. This paper can provide potential guidance for the design and development of EMMs for FCVs in real-world driving situations. Although great progress has been made in the EMMs based on driving cycle information for FCVs, there are still many challenges. The main prospects of this review are the following:Accurate driving pattern recognition algorithms, short-term driving characteristic prediction algorithms, real-time energy management optimization methods and integrated driving style recognition methods will improve the energy economy and prolong the powertrain system durability of FCVs. In the future, our work will focus on the development and application of EMMs for FCVs based on the ITS and DCP technologies."}
+{"text": "Colorectal cancer (CRC) is the third most common malignancy in terms of global tumor incidence, and the rates of morbidity and mortality due to CRC are rising. Experimental models of CRC play a vital role in CRC research. Clinical studies aimed at investigating the evolution and mechanism underlying the formation of CRC are based on cellular and animal models with broad applications. The present review classifies the different experimental models used in CRC research, and describes the characteristics and limitations of these models by comparing the research models with the clinical symptoms. The review also discusses the future prospects of developing new experimental models of CRC. Colorectal cancer (CRC) is the most common malignancy worldwide, in terms of both morbidity and mortality . The undIn vitro models of CRC established using intestinal cells and CRC cells are frequently employed for obtaining rapidly growing cellular models of CRC and for facilitating experimental control. In vitro models of CRC can simultaneously generate several populations of homogeneous cells. Specific cellular targets of macroscopic systems can be conveniently studied using these models by analyzing the experimental results , including the cells and acellular components constituting the structural complexity of the in vivo environment. Altogether, these indicate that CRC cell lines fail to accurately mimic the in vivo growth characteristics of tumor cells.Although the characteristics of CRC cell lines are highly consistent with those of human cancer models, they have certain limitations. CRC cell lines facilitate the investigation of the molecular and phenotypic characteristics of CRC. However, as only one side of the cells is in contact with the medium during culture, the majority of cells gradually flatten, undergo abnormal division, and lose their differentiation phenotype following isolation from tissues and plate culture. Additionally, CRC cells continue to proliferate In vitro 3D culture models, including spheroids and organoids, are therefore used for overcoming the limitations of 2D cellular models. Spheroids comprise a mixture of single-cell or multicellular systems, while organoids are generally formed of specific stem cells or ancestral cells from organs , tumorospheres, tissue-derived tumor spheres (TDTS), and organotypic multicellular spheroids OMS; Weiswal.in vivo was used in the early 2000s for evaluating the differentiation capacity of tumors. However, because there are no morphological phenotypes associated with the phenotypic instability of CSCs, the tumorosphere model is unable to faithfully simulate the f tumors .in vitro 3D cell culture models of CRC culture models that are frequently used in CRC research. Organoids are self-organizing organotypic cultures that are produced from various stem cells, including tissue specific adult stem cells (ASCs), embryonic stem cells (ESCs), or induced pluripotent stem cells (iPSCs) . The steructures (Lancastructures .+) intestinal stem cells in a medium containing stem cell niche restatement factors and tissue-specific growth factors mutations, poor differentiation, or mucinous phenotypes related to CRC. The application of organoids to CRC research can be improved by employing the co-culture model of organoids in which immune cells and mesenchymal cells are co-cultured for simulating the in vivo TME.Organoids are typically used for investigating the mechanism underlying the development of CRC, screening anti-CRC drugs, and determining the efficacy and mechanism of action of drugs. However, there are various limitations to the application of organoids in studies on CRC, which are described hereafter. First, the current methods for organoid culture lack the technological means for maintaining the blood vessels, immune system, and peripheral nervous system of tumor cells, and organoids lacking these characteristics cannot be used in CRC research . Second,he tumor . Third, The establishment of models using the corresponding tumor cells is crucial for investigating the mechanism underlying the development of CRC and discovery of anti-CRC drugs . The appThe occurrence of diseases such as cancer that occur spontaneously in animals is largely attributed to genetic diversity and immune functions. Therefore, studying the methods for generating animal models of CRC can aid in elucidating the mechanisms underlying the development of cancer . Animal Rodent models are conducive tools for conducting cancer research, and are extensively used for elucidating the etiopathogenesis and molecular mechanisms underlying the development of CRC. Previous studies have demonstrated that the protein-coding genes of mice and humans share high homogeneity . AdditioAPC (adenomatous polyposis coli) are commonly inherited in adenoma-carcinoma transitions observed during the development of CRC , Kirsten rats arcomaviral oncogene homolog (KRAS), phosphatidylinositol-4,5-bisphosphate 3-kinase catalytic subunit alpha (PIK3CA), F-box and WD repeat domain containing 7 (FBXW7), SMAD family member 4 (SMAD4), transcription factor 7-like 2 (TCF7L2), NRAS proto-oncogene (NRAS), AT-rich interaction domain 1\u00a0A (ARID1A), SRY-box transcription factor 9 (SOX9), and APC membrane recruitment protein 1 (FAM123B) can also increase the risk of CRC and western medicine are two different medical theoretical systems. The research model based on the etiological mechanism theory of TCM is applied to animal studies with TCM syndrome, as shown in Understanding the inherent advantages and limitations of the different models of CRC, and the appropriate application of these models in drug development and studies on the mechanism of tumor occurrence and development are important in CRC research.in vitro physiological or pathological models that closely represent the in vivo condition, and can be used for studying the interactions between cells, and between cells and the culture environment. It has been reported that 3D models can mimic the physiological characteristics of parental tumors, including tumor heterogeneity (in vivo.Human cell lines and xenograft models have been extensively employed over the past few decades owing to their low cost and ease of application. However, these models are incapable of reproducing the heterogeneity of CRC tumors . The celogeneity . Howeverogeneity . It is tThe intestinal microarray platforms used in CRC research, which consist of intestinal organoids and organic chips, can summarize the important structural features and functions of the natural duodenum. This platform can be applied for studying drug conveyance, metabolism, and drug-drug interactions . Multi-lin situ models and the cell and tissue transplantation models of CRC. Owing to the relatively simple modeling approach of human tumor xenotransplantation, this model is presently widely used for studying the efficacy of anti-CRC drugs. The effects of CRC xenotransplantation can be closely related to clinical activity via the rational application of these models. For instance, genetically engineered murine models have been used for studying the progression of tissue-specific molecular changes in CRC by determining the effect of specific molecular targets. Chemical induced-CRC animal model is one of the most commonly CRC models, in which CAC model is usually induced by AOM/DSS to study the mechanism of inflammation related-tumorigenesis and development (Animal models of CRC have been widely used for studying the complexity of CRC. There are primarily two types of animal models, namely, elopment . The CRCelopment . Mouse ielopment .The application of molecular tools and genetic strategies has aided the advancement of cancer research, and the cellular and animal models of CRC are being continually improved. Further understanding of the genetic and epigenetic events in CRC, including the alterations in molecular networks associated with the initial stages of development, are facilitated by high-resolution approaches.in vivo and in vitro models in CRC research, combined with advanced scientific techniques for simulating a more realistic tumor environment in vivo and in vitro, can help replicate the complex scenarios of tumor occurrence and development, identify novel therapeutic approaches for inhibiting tumor growth, and elucidate the molecular mechanisms underlying tumor formation.Although CRC research has advanced immensely in recent years, several clinical issues remain to be resolved to date, which is partly attributed to the absence of suitable preclinical research models. The application of"}
+{"text": "The human exposome represents the totality of all environmental exposures over a lifetime, from conception to death, and the effect of these exposures on human health and disease , 2. In rIn this Research Topic, we invited original research, commentaries, and opinions to demonstrate the multidisciplinary nature of exposome research and the challenges in the use of metabolomics for this endeavor. Here, we highlight some of these aspects with emphasis on methodological and technological developments, data processing approaches, and the role of environmental, dietary, and occupational exposures.Price et al., aiming to address the lack of high-resolution electron ionization mass spectral libraries (HR-[EI+]-MS) for environmental chemicals, constructed a retention-indexed HR-[EI+]-MS library following analysis of authentic compounds via GC-Orbitrap MS. The library is freely provided alongside a compound database of predicted physicochemical properties and offers a significant resource to the research community as an open science and open-source tool. Currently, the library contains over 350 compounds from 56 compound classes and includes a range of legacy and emerging contaminants. The RECETOX Exposome HR-[EI+]-MS library expands the number of freely available resources for use in full-scan chemical exposure studies and is available as described in the manuscript.One of the greatest challenges of metabolomics and exposome research is metabolite identification and the lack of suitable metabolite libraries and databases for this purpose. In the field of GC-MS, EI mass spectra have been compiled in libraries for years, however, most of these spectra have been reported at low resolution. Nikou et al., the authors used state-of-the-art metabolomics methodologies to identify chemical biomarkers characteristic of geographical origin, cultivation practice, and production procedure of olive oil, a part of the Mediterranean diet that has been characterized as a healthy dietary pattern. Metabolomic profiling with Flow Injection Analysis - Magnetic Resonance Mass Spectrometry (FIA-MRMS) and LC-Orbitrap MS platform were used to analyze intact oil and the corresponding polyphenols of Extra Virgin Olive Oils. The methodology has the potential to offer a tool to tackle food fraud and adulteration and to also identify components of healthy dietary patterns.Metabolomics offers unique opportunities to identify food constituents and understand their role in the dietary exposome and food quality. In the manuscript by Borroni et al., the authors evaluated the effect of night shift work on the serum metabolome in a population of Italian female nurses working on night shifts and female colleagues not employed on night shifts, demonstrating differences in the levels of taurine, serotonin, aspartic acid, and some lipids, all of which offer clues on the biological alterations involved in shift work.An important part of the exposome is occupational exposures and patterns, including shift work, which in recent years has been associated with several physiological changes and potentially correlating with several diseases. In the manuscript by Barupal et al., the authors demonstrated that the re-processing of metabolomics datasets, already published and publicly available, can change the number of metabolite identifications made and potentially uncover new biomarkers that may have been missed during the initial processing. The authors used MS-Dial for data pre-processing, a publicly available software, and applied less stringent data processing thresholds compared with the original data pre-processing approach that used the mass spectrometer manufacturer's software. The manuscript demonstrated the opportunities and also the challenges that arise from the fact that different software and even slight changes in pre-processing parameters can impact the quality and volume of data reported. The manuscript initiated a lively debate with two further commentaries by Keski-Rahkonen et al. and Barupal, which contributed to the overall metabolomics community discussions about methodologies, software and parameters of data pre-processing, reporting standards and formats, and inter-comparability between data pre-processing methodologies.In the manuscript by The study of the exposome and metabolomics is remarkably multidisciplinary and fast-moving, and this Research Topic captured some of the recent exciting developments and concepts in the field. We believe that the reader will find this Research Topic to be a useful reference that can inspire future research and innovations.This manuscript was initially written by AS. Manuscript was revised and edited by HK, RK, BW, and LM. All authors contributed to the article and approved the final submitted version."}
+{"text": "Among the neurophysiological methods of investigating the brain, electroencephalography (EEG) and quantitative electroencephalography (QEEG) are known for showing constant increases in sensitivity and specificity, and exponential advancement in clinical utility. Detection and interpretation of the human brain waves using EEG allows a deeper understanding of brain functioning. Building on this, QEEG involves the use of various algorithms leading to the transformation of brain waves into numerical data, which can be analyzed to gain insight into signal complexity, neural networks, and connections within the human brain. The technique has been applied extensively in clinical settings, including the study of neuropsychiatric disorders, human behavior, epilepsy, stroke, or traumatic brain injury.Neurotechnology connects a wide variety of fields aiming to diminish the existing gaps in neurosciences, from medicine and psychology to assistive technologies, engineering, and artificial intelligence. Its objective is to investigate brain principles from bench to bedside, promoting a thorough understanding of cerebral processes, and the development of innovative technologies with experimental and clinical applications.EUNeurotech, the European University of Brain and Technology, brings together nine prominent universities and a large variety of stakeholders covering all European regions. The goal is to facilitate collaboration among all interested stakeholders thus establishing a complex European network of neuroscientific excellence focusing on neurological research and technology. The project fosters a competitive, diverse, and multilevel approach to achieve its goals.EU and Erasmus+ Programme, the University of Medicine and Pharmacy Iuliu Ha\u021bieganu (UMFIH) organized the second edition of the QEEG Summer School (QEEGSS) between the 17th and 21st of July 2023 in Cluj-Napoca, Romania.After a successful first edition in 2022, developed as a Blended Intensive Program (BIP) in the framework of NeurotechEU Alliance, while one came on demand from Cologne University.The educational program, coordinated by Prof. Dr. Dafin Mure\u0219anu and Dr. Livia Popa, assembled 25 junior researchers from six countries: France \u2013 Lille University (7 delegates), Germany \u2013 Bonn University (3 delegates), Cologne University (1 delegate), the Netherlands \u2013 Radboud University (1 delegate), Iceland \u2013 Reykjavik University (4 delegates), Spain \u2013 Miguel Hern\u00e1ndez University (4 delegates), and Romania \u2013 UMFIH Cluj-Napoca (5 delegates). Most candidates had a bachelor\u2019s degree in medicine, psychology, bioengineering, biotechnology, industrial technology, or biological sciences. However, a few medical students were also admitted to the program. Among the participants, twenty-four were affiliated with universities from the NeurotechThe training adopted a basic-to-intricate approach, starting with the fundamentals of EEG and progressing to different types of QEEG analysis , and the association of QEEG with other technologies and eye tracking).The educational event was strategically designed to maximize engagement and active learning. Each day included morning lectures followed by interactive hands-on sessions in the afternoon in two locations: the RoNeuro Institute for Neurological Research and Diagnostic and UMFIH. This format was maintained over a four-day period. On the fifth day, the participants presented their projects and were evaluated regarding their understanding of the course content, acquired skills, approach to the project, presentation skills, and originality. Subsequently, the winning team was established and awarded for their efforts.BrainVision Analyzer 2 and MATLAB toolboxes , and engaged in team-oriented activities that promoted multidisciplinary learning and exchange of skills.During the program, the participants became familiar with various QEEG analysis tools, such as The curriculum content was structured in:EEG Basics;Theoretical Foundations of QEEG;QEEG Analyses;QEEG and Other Technologies;Group Projects on QEEG.To ensure seamless implementation, the following technical resources were made available: complete equipment for EEG recording on 21-channels (Neurosoft \u2013 LIAMED), respectively 32 channels , and BrainVision Analyzer Educational Licenses offered with the courtesy of Brain Products GmbH, wherewith the preprocessing steps were accomplished. Brainstorm application for feature analysis along with the R programming language was preferred for further processes.EU Alliance.The opening of the event took place at the RoNeuro Institute for Neurological Research and Diagnostic, a prestigious institution affiliated with UMFIH and a scientific partner of the NeurotechThe QEEGSS was organized under the guidance of Professor Dr. Dafin Fior Mure\u0219anu, the Chairman of RoNeuro, Chairman of the Neuroscience Department at the UMFIH, President of the Society for the Study of Neuroprotection and Neuroplasticity (SSNN), and President of the European Federation of NeuroRehabilitation Societies (EFNR). Dr. Livia Popa, neurophysiologist and researcher, lead of the QEEG Lab at the RoNeuro Institute, emphasized in the opening remarks the enthusiasm and motivation of the local team in organThenceforward Dr. Popa pinpointed the primary objective of the QEEGSS, which is to deliver a comprehensive introduction to the field of QEEG for a better understanding of brain activity and inform on its wide-ranging applications in clinical practice and research. The activities covered during the summer school were then presented, namely the exploration of data collection intricacies and analyzing techniques (preprocessing and processing) and acquisition of experience in QEEG interpretation, along with the possible integration of these findings into clinical practice and more advanced topics, such as source localization and connectivity analysis. The QEEGSS students were randomly assigned to teams and worked together for the following five days on common projects fostering a spirit of cross-disciplinary learning and multidisciplinary cooperation.The Paradigm of Brain Technology and Neuroscience focused on the importance of collaboration between neurodisciplines grouped around the technology-dominated core. As the main scope of the European University of Brain and Technology is bridging European communities of young neuroscientists, UMFIH Cluj-Napoca plays a key role in reinforcing this position by elaborating translational and clinical research projects in several centers of excellence, such as:The initial presentation, Centre for Translational Research in Neurosciences;Centre for Research on the Dissemination of Drug-Related Information;Centre of Research in Functional Genomics, Biomedicine and Translational Medicine;Centre for Experimental Medicine and Practical Skills;MedFUTURE \u2013 the Research Centre for Advanced Medicine.EU through its various research groups focusing on EEG, QEEG, TMS, Eye tracking, Cervical and Transcranial Sonography, besides the keen interest in Cerebrovascular Diseases, Cognitive Neurology, Neurotraumatology, Neurorehabilitation, and Neuroepidemiology.The RoNeuro Institute for Neurological Research and Diagnostic represents an additional fundamental pillar of support for neuroscientific research and education materialized by the close collaboration with UMFIH and NeurotechNeurobiology of EEG Signals. Dr. Livia Popa then offered a detailed presentation of the EEG Basic Concepts, where she illustrated the Montage selection \u2013 the arrangement of electrodes on the scalp to record EEG signals; the Acquisition of EEG signals \u2013 proper electrode placement, amplifying and filtering the signals to obtain accurate data; Patterns identification \u2013 recognizing different patterns, such as alpha, beta, theta, and delta brain oscillatory activity and/or epileptic discharges; Types of activity \u2013 alertness, resting state, drowsiness, sleep or seizure; Artifacts \u2013 electrode pop, electrode bridge, physiological artifacts , as well as noise coming from electrical interference; and Clinical applications \u2013 epilepsy, sleep disorders, brain tumors, traumatic brain injury, stroke, encephalopathies of different etiologies.After the introductory lecture that placed QEEG in the contemporary neurotechnological context, Dr. Diana Chertic explained the The second part of the day focused on analyzing a live EEG recording . SubsequData Preprocessing, Artifact Rejection, and Reduction . Her introduction to QEEG was complemented by a brief presentation by Dr. Diana Chertic on artifact removal through the application of Independent Component Analysis (ICA) and Principal Component Analysis (PCA). The theoretical part of the day was concluded by Dr. Victor D\u0103bal\u0103 with a captivating lecture about Frequency Domain and Time-Frequency Domain Analysis, referring to the Fast Fourier Transform (FFT), the Dot Product, the Convolution Theorem, and the Construction of Wavelets. During the afternoon hands-on session, each student performed QEEG Signal Preprocessing in BrainVision Analyzer 2 and Brainstorm.Dr. Livia Popa marked the start of the second day by highlighting specific methods of The third day of the intensive course brought a deeper perspective into QEEG's clinical and research applicability.Frequency-Domain Connectivity. She also covered the topics of correlation, cross-correlation, transfer entropy, mutual information, and Granger causality, which are included in Time-Domain Connectivity, along with explaining what a connectivity matrix represents. The theoretical discussions were complemented by clinical cases that illustrated the applications of QEEG in daily neurological practice. These cases sparked lively debates on differential diagnoses, ranging from neurodevelopmental to neurodegenerative disorders.The first two presentations, delivered by Dr. Hanna-Maria Drago\u0219, referred to the possibilities of neuronal communication through synchronicity modulation (coherence), which is included in Electrophysiological Source Imaging detection, providing several EEG source localization tools for participants.Dr. Diana Chertic continued the day with a presentation on Data \u2013 from Brainstorm to R, Stud. Vlad Chelaru demonstrated a workflow for the integration of Brainstorm computations with frequentist statistical analysis software, exporting QEEG-based indexes in a format compatible with other software packages such as R.Later on, through his presentation QEEG Feature Extraction, led by Dr. Victor D\u0103bal\u0103 and Dr. Diana Chertic concluded the day. Participants had the opportunity to transform the time series data into topographical maps and numerical data using BrainVision Analyzer 2 and Brainstorm algorithms.A workshop on The fourth day focused on blending Quantitative means of EEG analysis with complementary investigative technologies. Therefore, the presentation of Dr. Irina Vlad covered a wide array of technologies that might be utilized alongside QEEG: Functional Magnetic Resonance Imaging (fMRI), Functional Near-Infrared Spectroscopy (fNIRS), Transcranial Direct Current Stimulation (tDCS), Transcranial Alternating Current Stimulation (tACS), and Magnetoencephalography (MEG). She provided a comprehensive introduction to these technologies offering additional means of exploration when paired with QEEG. Dr. Vlad`s overview encompassed their development, functionalities, and mechanisms, in addition to the research applications. Her display, followed by two other lectures \u2013 QEEG & Transcranial Magnetic Stimulation (TMS) delivered by Dr. Anca Demea and QEEG & Eye Tracking (ET) presented by Dr. Emanuel \u0218tef\u0103nescu \u2013 sparked considerable interest among the audience. The majority of the participants actively engaged by asking questions and sharing their own experiences.The second part of the day was dedicated to teamwork and project coordination. QEEGSS students had the opportunity to cooperate in 5-member groups, applying the knowledge and skills acquired during the first three days. While working on their project proposals, they utilized transversal competencies such as critical thinking, decision-making, problem-solving, and creativity.The fifth and final day of the QEEGSS testified to the power of collaboration, innovation, and relentless pursuit of knowledge. This day was dedicated to project presentation, as each team was randomly assembled at the beginning of the week to foster a spirit of cooperation and cross-disciplinary learning.Throughout the week, each team worked diligently on their assignments, their efforts extending into the evenings following the day\u2019s theoretical courses and hands-on sessions. The result was a rich tapestry of unique projects, reflecting the diverse skills and perspectives of the team members. The projects provided refreshing insights into EEG analysis, including innovative approaches to EEG signal cleaning through ICA, meticulous manual artifact-free epoch selection, and insightful comparisons of absolute and relative spectral densities.One team, demonstrating a commendable spirit of independence and technical acuity, chose to use the Python MNE package for their analysis in lieu of the BrainVision Analyzer and Brainstorm software. This decision allowed them to execute their analysis in a more controlled manner and across different operating systems, including macOS or Linux-based distributions. Another team engaged in a thoughtful critique of one literature study that focused on the same data set as the participants. They proposed several ways to mitigate the identified limitations, demonstrating a deep understanding of the subject matter and a critical approach to scientific research. This team's exceptional work earned them the winning position, and they were duly awarded for their achievement .A key takeaway from the day\u2019s presentations was the importance of standardizing analysis methods in QEEG research. Given the subjectivity of some steps, such as artifact interpretation, and the wide range of software available for analysis, one participant highlighted the need for clear and detailed descriptions of the steps used in QEEG analysis. This would ensure transparency and reproducibility, contributing to the robustness of the scientific literature in this field.At the end of the course, the students completed an online evaluation questionnaire that assessed learning outcomes and their level of satisfaction with the entire event.The closing ceremony was offiThe 2023 QEEG Summer School was a journey of discovery, a celebration of collaboration, and evidence of the power of innovative thinking in advancing scientific understanding.EU is an educational event that confirms the strong interest of young scientists from the European consortium in exploring the intricacies of the human brain. Year after year, quantitative means of exploring neural data will gain more ground on the boundary of neuroscience and biotechnology, defining a new area in exploring brain functionality.The second edition of QEEGSS in the fThrough the implementation of these intensive educational programs, the scientific alliance is empowered to foster an environment of academic excellence and intellectual growth as well as be a catalyst for significant achievements in the field of neurotechnology through multidisciplinary collaborative endeavors."}
+{"text": "The Inter European Union Reference Laboratories (EURLs) Working Group on Next Generation Sequencing (NGS) involves eight EURLs for microbiological food and feed hazards and has been working since 2017 to promote the adoption of NGS by the National Reference Laboratories (NRLs) in the European Union. This work illustrates the results of the first 5\u2009years of activity. By working together, the EURLs involved have released guidance documents for assisting NRLs in all the steps of NGS, helping the transition from classical molecular methods towards whole genome sequencing while ensuring harmonization, with the final aim of improving preparedness in the use of NGS to characterize microbial hazards and trace the sources of infection. The authors confirm all supporting data, code and protocols have been provided within the article.The Inter European Union Reference Laboratories (EURLs) Working Group on Next Generation Sequencing (NGS) involves eight EURLs for microbiological food and feed hazards and has been active since 2017 on a mandate of the European Commission for promoting the adoption of NGS across the respective National Reference Laboratory (NRL) networks in the European Union, by building capacity and ensuring harmonization of procedures. Here, we present the main achievements of the working group at the current stage and plans for the future, mainly consisting of offering continuously updated resources as guidance documents, reference genome sequences and training opportunities, contributing to the growing ability of the NRLs to apply NGS technology for diagnosing and/or tracing microbiological foodborne infectious diseases in Europe.The global surveillance and outbreak investigation of infectious disease agents, including viral, parasitic and bacterial pathogens, and associated antimicrobial resistance (AMR) in a One Health context is currently amid a paradigm shift from traditional microbiology to genomics. The transition started around 2010 with the introduction of affordable benchtop next-generation sequencing (NGS) platforms. A decade later, this technology represents a powerful all-in-one solution to obtain complete characterization of microbial pathogens at lower costs and often in shorter time than with traditional microbiology. However, as with all molecular methods, its adoption in routine monitoring of infectious disease agents in food and animals and in outbreak investigations aimed at source tracking requires optimization and harmonization.The European Union Reference Laboratories (EURLs) for food and feed hazards are designated according to Regulation (EU) 2017/625 of the European Parliament [Escherichia coli including Shiga-toxin-producing E. coli, Listeria monocytogenes, coagulase-positive staphylococci, Salmonella, Campylobacter, foodborne parasites, AMR and foodborne viruses. The location of the EURLs involved in the WG is detailed in In 2017, the \u2018Inter-EURLs Working Group (WG) on NGS\u2019 was established based on a mandate by the European Commission (EC), with the aim to promote the use of NGS across the EURLs\u2019 networks, by building capacity and ensuring harmonization of procedures within the EU. The WG consists of representatives of eight EURLs for the following microbiological hazards: The WG meets twice a year, with the aim of coordinating activities and providing guidance documents for the organization of NGS-based proficiency tests (PTs), for the application of NGS laboratory procedures and analytical bioinformatics tools and for benchmarking analytical methods, while following the activities for the development of ISO 23418\u200a:\u200a2022 \u2018Whole genome sequencing for typing and genomic characterization of bacteria\u2019 [in vitro amplification steps.The level of adoption of NGS across the NRLs was estimated by launching a survey in spring 2018 and subsequently by monitoring the participation in the PTs for NGS-based methods organized by the EURLs . About hIn detail, EURLs for coagulase-positive staphylococci, parasites and foodborne viruses reported ongoing progress throughout their networks since 2018, when fewer than ten NRLs per network had declared as having access to NGS. This improvement was mainly achieved due to participation in research projects, which are expected to provide tangible preparedness in the next couple of years.E. coli website [The use of established protocols in the production and the analysis of NGS data is essential to achieve comparability of results, which is particularly important for example in the framework of an outbreak investigation. With the aim of supporting the NRLs, since 2020 the Inter-EURLs WG on NGS has released and routinely updated a collection of guidance documents, as detailed below. All these documents are published on the web pages specifically dedicated to the activities of the WG, present on the websites of each of the involved EURLs. An example is represented by the page included in the EURL for website , linkingThe availability of high-quality nucleic acids (DNA/RNA) is a prerequisite for the successful application of NGS methodologies. Due to the large biological differences among bacterial, viral and parasitic pathogens, different methods are required, in particular for uncultivable target organisms. A guidance document was prepared by gathering Standard Operating Procedures (SOPs) generated during previous EU projects, such as COMPARE , ENGAGE The bioinformatics tools most used for NGS data analyses, including quality checking, trimming, assembly, multi-locus sequence typing (MLST), virulotyping, serotyping and identification of AMR genes, were referenced in a guidance document . In addiA further guidance document that aimed to inform and support NRLs in the choice of methods to be used for cluster analysis was released . This doE. coli, L. monocytogenes, Salmonella, Campylobacter and AMR all performed PTs focusing on prediction of: (1) specific subtypes ; (2) determinants ; (3) phylogeny based on SNPs or gene-by-gene approaches; and (4) genome quality metrics.Standardization of WGS procedures from DNA preparation to the final genome is pivotal to provide reliable data for surveillance and outbreak detection. To ensure the production of reliable high-quality genomic data, laboratories routinely applying NGS technology should participate in inter-laboratory studies or external quality assurance schemes (EQAs)/PTs. A document describing the approach used in genomics PTs at each of the EURLs and the experiences collected during the organization was published and will be routinely updated . The EURIn the future, the organization of PTs focusing on metagenomics approaches could be useful for the networks dealing with difficult-to-grow hazards, such as viruses and parasites.Different approaches were used to collect the PT results, in some cases requiring the submission of sequence files, in addition to analysed results, which poses problems of heavy data exchange and of workload for the analysis needed at the EURLs for evaluation. In other cases, the analysed results are submitted without exchanging sequence files, which provides an easier solution, though not allowing control of the quality of the sequence file(s) produced.A reference genome collection, useful for the validation and benchmarking of bioinformatics tools, was compiled. Sequences of different pathogens produced by participants of PTs organized by the EURLs are listed in the guidance document .EURLs and NRLs need to document the performance of the laboratory procedures and bioinformatics tools with appropriate and comprehensive benchmarking. The document \u2018Guidance document for WGS-Benchmarking\u2019 was prepde novo assembly. The document also includes statistical analyses to perform the benchmarking.The wet bench component includes any of the following processes: handling of strains, extraction of nucleic acids, fragmentation, barcoding (molecular indexing) of isolates, enrichment of targets for exome or gene panels, adapter ligation, amplification, library preparation, flow cell loading and generation of sequence reads. Sequence generation is almost entirely automated, and the output consists of millions to billions of short sequence reads. The dry bench workflow is followed by intensive computational and bioinformatics analyses that use a variety of algorithms to align the short sequence reads to a linear reference bacterial genome sequence, and to perform As NGS practices are not yet routine for several NRLs and are also in constant update, there is a need for NGS training. Since 2018, EURLs regularly organize training courses for their respective NRL network and the first joint training session with all the EURLs that are part of the WG was organized in 2022 focusing on dry lab analysis, with the aim of bringing NRLs together to ensure exchange of opinions and establishing fruitful collaborations. Moreover, a document aimed atThis initiative has brought the EURLs together, allowing common strategies to be found to stimulate the adoption of NGS for monitoring microbiological foodborne pathogens. In 5\u2009years of activity, the WG has released guidance documents for assisting NRLs in all the steps of NGS, helping the transition from classical molecular methods towards genomics while ensuring harmonization. These resources are routinely updated on EURL websites, making them available for any laboratory wishing to follow the same path, with the aim of contributing to improve preparedness in the use of NGS to characterize microbial hazards and trace the sources of infection."}
+{"text": "Salvia hispanica L.) and Lacticaseibacillus paracasei on intestinal functionality, morphology, and bacterial populations, in vivo [Acrocomia aculeata) pulp oil to prevent adipogenesis, inflammation and oxidative stress in mice fed a high-fat diet [Malus domestica) juice, pomace, and pulp and the modulation of intestinal functionality, morphology, and bacterial populations in vivo [Salvia hispanica L.) associated with high-fat diet on the intestinal health of wistar rats [Gallus gallus) [Zea mays L.) on cecal microbial populations in vivo [Gallus gallus) of catechin and its derivatives [Vitis labrusca L.) puree, juice, and pomace on intestinal morphology and functionality, and on bacterial populations in vivo [Gallus gallus) of genistein alters mineral transport, intestinal morphology, and gut microbiota [Gallus gallus) of nicotinamide riboside and its derivatives [This monograph, based on a Special Issue of Nutrients, contains 16 manuscripts\u20142 review manuscripts and 14 original research manuscripts\u2014that reflect the wide spectrum of currently conducted research in the field of Emerging Dietary Bioactives in Health and Disease. The manuscripts in this Special Issue collection include contributions from researchers from multiple countries, including the USA, Brazil, United Kingdom, Italy, Norway, China, and Israel. The presented manuscripts cover a wide variety and range of topics in the field of dietary bioactives in health and disease, with emphasis on the investigation of the effects hydrolyzed protein of chia ; the efftar rats ; the int gallus) ; the inv gallus) ; the dem gallus) ; the altivatives ; the per gallus) ; the demcrobiota ; the occivatives ; and an Plant-based diets contain wide varieties of metabolites that may impact on health and disease prevention. Most are focused on the potential bioactivity and nutritional relevance of several classes of phytochemicals, such as polyphenols, flavonoids, carotenoids, phyto-oestrogens, and frucrooligo-saccharides . These cThis Special Issue and collection of manuscripts constitutes a useful summary of progress in various areas related to emerging dietary bioactives in health and disease."}
+{"text": "Ischemic heart disease is one of the leading causes of morbidity and mortality worldwide. Continuous advances in diagnostic, prognostic and therapeutic methods have led to an improvement in patient outcomesover the past few decades.In recent years, developments in molecular assessments, laboratory assays and imaging techniques have enabled a comprehensive characterisation of ischemic heart disease. Circulating biomarkers involved in the pathogenesis of CAD (coronary artery disease) have the potential to detect the disease in its early stages: inflammatory markers, biochemical markers (proteins), epigenetic markers , and transcriptional markers (gene expression) . CardiovThis Special Issue explores some of the latest research on the diagnosis of coronary artery disease.Calmac et al. discuss An important section of this Special Issue is dedicated to the implications of myocardial bridge in patients with CAD . The myoFinally, the systematic review by Kampmann et al. addresseAll papers presented in this Special Issue emphasise the importance of diagnostic techniques in CAD allowing for patient-tailored treatment, and thus reducing ischemic-heart-disease-related complications and improving patient outcomes. Advances in diagnostic techniques and the management of these patients may substantially reduce the burden of cardiovascular diseases in the future."}
+{"text": "Obsessive-compulsive disorder (OCD) is a disorder diagnosed on the basis of the presence of obsessions and compulsions (compulsive and transiently satisfying actions performed in response to obsessions). A separate clinical phenomenon in the broadly understood anankastic spectrum is obsessive-compulsive disorder (OCPD). OCPD is characterized by scrupulousness, over-normative morality, perfectionism and an inability to make concessions in terms of cooperation. It is assumed that the incidence of OCPD in the course of OCD is 25-32% and it is a report with an unfavorable course and a more difficult therapeutic prognosis. It also means an early onset of OCD with a greater intensity of compulsions and a predominance of symptoms related to the sphere of purity, symmetry and gathering.The main aims of the study were as follows:1. To assess the prevalence of OCPD in OCD patients.2. To compare both groups of patients for the severity, level of insight, aggression, impulsiveness and affective symptoms.3. To verify whether the presence of OCPD depend on factors such as age, gender, treatment duration and delay in starting treatment.-Brown Obsessive Compulsive Scale (Y-BOCS), Hamilton Depression-Rating Scale (HDRS), Young Mania Rating Scale (YMRS), Buss-Perry Aggression Questionnaire (BPAQ), Barratt Impulsiveness Scale (BIS-11), Brown Assessment of Beliefs Scale (BABS) and DSM 5 criteria for OCPD.The study was conducted in a group of 78 patients diagnosed with and treated for OCD. The patients were divided into two groups: patients with OCD and OCPD and patients with OCD without OCPD . The groups were subsequently compared for the severity of anankastic symptoms, the level of insight, aggression, impulsiveness and its components and affective symptoms . The following tools were used for the diagnosis: YaleOur results confirmed that OCPD is common in OCD and occurred in 55,12% of patients with OCD . The study shows that the presence of OCPD in the course of OCD negatively affects the severity of obsessive-compulsive symptoms, the level of insight, the level of aggression and impulsiveness, and affective disorders. Patients with OCPD obtained higher scores on the YBOCS, BABS, HDRS, and YMRS scales compared to patients with OCD without OCPD. The occurrence of OCPD in the study group did not depend on gender, duration of OCD treatment, or delay in starting it.The occurrence of OCPD is common in OCD and can cause delay of treatment, worse course, greater intensity of egosyntonic symptoms, and thus worse insight. The presence of OCPD can lead to more hostility and more affective disorders. Screening for OCPD in patients with OCD should be an integral part of an OCD diagnostic process.None Declared"}
+{"text": "The sudden and large-scale Russian invasion of Ukraine has caused significant stress not only in Ukrainians but also in citizens of countries which have received the largest numbers of refugees.The aim of the current study was to identify stress, resilience, and self-efficacy levels, as well as to examine the relationships between these variables, in a sample of women from Ukraine, Poland, Slovakia, and Romania during the third month of Russian aggression on Ukraine.Perception of Stress Questionnaire, the Brief Resilience Scale, and the Generalized Self-Efficacy Scale in May 2022.The study involved measuring a sample of Ukrainian (N = 82), Polish (N = 102), Slovak (N = 79), and Romanian (N = 42) women using the The results showed that during the third month of Russian aggression on Ukraine, stress levels and its components were the highest among Ukrainian women and the lowest among Polish women. The sense of self-efficacy was the lowest among Ukrainian women and highest among Polish women, while resilience was the lowest among Ukrainian women and the highest among Slovak women.Women from Ukraine reported being in the worst mental state compared to the rest of the sample. Moreover, a path analysis of the measured variables points to a multifaceted relationship between stress, resilience, and self-efficacy among women from Ukraine, Poland, Slovakia, and Romania during the third month of the Russian invasion.None Declared"}
+{"text": "The Horn of Africa is a large area of arid and semi-arid land, holding about 10% of the global and 40% of the entire African livestock population. The region\u2019s livestock production system is mainly extensive and pastoralist. It faces countless problems, such as a shortage of pastures and watering points, poor access to veterinary services, and multiple endemic diseases like foot-and-mouth disease (FMD). Foot-and-mouth disease is one of the most economically important livestock diseases worldwide and is endemic in most developing countries. Within Africa, five of the seven serotypes of the FMD virus (FMDV) are described, but serotype C is not circulating anymore, a burden unseen anywhere in the world. The enormous genetic diversity of FMDV is favored by an error-prone RNA-dependent RNA polymerase, intra-typic and inter-typic recombination, as well as the quasi-species nature of the virus. This paper describes the epidemiological dynamics of foot-and-mouth disease in the Horn of Africa with regard to the serotypes and topotypes distribution of FMDV, the livestock production systems practiced, animal movement, the role of wildlife, and the epidemiological complexity of FMD. Within this review, outbreak investigation data and serological studies confirm the endemicity of the disease in the Horn of Africa. Multiple topotypes of FMDV are described in the literature as circulating in the region, with further evolution of virus diversity predicted. A large susceptible livestock population and the presence of wild ungulates are described as complicating the epidemiology of the disease. Further, the husbandry practices and legal and illegal trading of livestock and their products, coupled with poor biosecurity practices, are also reported to impact the spread of FMDV within and between countries in the region. The porosity of borders for pastoralist herders fuels the unregulated transboundary livestock trade. There are no systematic control strategies in the region except for sporadic vaccination with locally produced vaccines, while literature indicates that effective control measures should also consider virus diversity, livestock movements/biosecurity, transboundary trade, and the reduction of contact with wild, susceptible ungulates. The language in which the search was performed was specified as English. The search items were limited to fully accessible manuscripts or reports. The time period for the literature to be retrieved electronically was set between 1 January 1999, and 9 March 2023.The key words used per the sections were as follows: Introduction: Livestock production system in East Africa OR Horn of Africa OR animal Product supply and demand Horn of Africa OR Livestock provides milk, meat, draft power OR Livestock Sector Report Horn of Africa OR FMD host range and pathogenesis OR FMD prevalence in the Horn of Africa OR Ethiopia OR Kenya OR Uganda OR Eritrea OR Sudan OR South Sudan. Serotype or topotype diversity: Serotype/topotype O or A OR SAT 1, 2,3 Horn of Africa OR Ethiopia OR Kenya OR Sudan OR South Sudan OR Eritrea OR Djibouti OR Uganda OR East Africa. Acute and persistent infection: Acute infection in cattle FMDV epidemiology OR Between animal and farm transmission of FMD OR FMD in carrier and persistent state OR Acute and persistent infection. Livestock movement and trade: Foot-and-mouth disease livestock movement OR pastoralism and livestock disease in East Africa OR foot-and-mouth disease virus dispersal in East Africa OR Cross border livestock movement in Africa. Wild animals and FMDV: Wild animals and foot-and-mouth disease in East Africa OR Role of wild ungulates for foot-and-mouth disease epidemiology OR Viral disease and African ungulates. FMD vaccines: Foot-and-mouth disease vaccines in East Africa OR Foot-and-mouth disease vaccines in Ethiopia OR Foot-and-mouth disease vaccine strain selection in East Africa. For the remaining sections, global FMD distribution OR FMD distribution, was used. In total, 210 articles were retrieved, and after applying the inclusion and exclusion (outside the horn area and not related to the mentioned factors) criteria, 102 citations were considered potentially eligible for inclusion in this review. In addition, for the most recent laboratory reports on the WRLFMD web site , some articles were searched manually using the Google Search engine .Articles published in peer-reviewed journals were obtained via the online search engines: Pub Med, Google Scholar, and the World Reference laboratory resource for foot-and-mouth Disease (WMRLFMD) website is one of the most important contagious livestock diseases and has an important economic impact globally. FMD affects over 70 domestic and wild cloven-hoofed animals and exisIn general, the genetic diversity of ribonucleic acid (RNA) viruses such as FMDV results from the error-prone replication process of the RNA-dependent RNA polymerase (RdRp), large population diversity, and high replication rate as well In addition to the above, genetic recombination is another determinant in the generation of new variants. In FMDV 15, recombination events were more evident in the non-structural proteins than in the genes coding for the structural proteins (capsid) ,19. FurtExcept for Greenland, Iceland, New Zealand, and the smaller islands of Oceania, every region in the world has, at least once, experienced an FMD outbreak. The outbreak reports of 1929, 1952, 1954, and 1970 in the USA, Canada, Mexico, and Australia, respectively, marked the last outbreak of FMD in these countries. The last sporadic outbreak of FMD on the European continent dates from 2011, as the disease was eradicated in Europe in the 1980s ,28. GlobGlobally, FMD is distributed into seven virus pools, and within each pool, several serotypes of FMDV can be found ,30. AfriFMD is endemic in the Horn of Africa, with variable prevalence in different countries. In Ethiopia, seroprevalence studies using NSP ELISA range from 5.6% to 72.1% in cattle, from 4% to 11% in small ruminants, and 30% in ungulate wildlife ,39,40,41Syncerus caffer) was recorded to be 74% in Uganda .,62.59,62\u22123 nucleotide substitutions per site per year over 58 years was recorded (1958\u20132016) , inactivated with 0.3% of formaldehyde, and adjuvanted with saponin. The duration of protection of this vaccine is a maximum of six months concentrate that is adjuvanted with saponin [The FOTIVAX of the KEVEVAPI FMDV vaccine is in the form of an aluminum hydroxide gel [Al(OH) saponin and puri saponin . The FMD saponin . This va saponin . At leas saponin . For ser saponin ,51,71,89https://kevevapi.or.ke/fotivax/, accessed on 20 February 2023). However, in the Horn of Africa, vaccination does not always seem to be protective against FMD, not even in the peri-urban semi-intensive production system. Maintaining a sound biosecurity practice helps to prevent the introduction and spread of the FMDV into a particular farm or country [The KEVEVAPI duration of protection is 6 months, or every 4 months for better protection ( country .As reviewed by Ambaye Kenubih, the importance of both structural and non-structural proteins of the FMDV on both the cellular and humoral arms of the immune system should be studied for sterile and long-lasting immunity development . As reviFoot and mouth disease epidemiology in the Horn of Africa is complex as a result of serotype and topotype diversity. In addition to this, unrestricted animal movements and insignificant control approaches exacerbate the epidemiological dynamics of the disease. The Horn of Africa harbors five FMDV serotypes and more than twenty topotypes, with a continuous threat of the spread of new topotypes within the region. Countries such as Ethiopia, South Sudan, Sudan, and Kenya are known as hotbeds for the emergence of new FMDV strains in the region and in other regions as well. The livestock movement in the area within and between the regions is unrestricted due to diverse factors, of which the search for markets, watering points, and pastures is the most important. The presence of wild animals is the third major factor affecting the epidemiology of the disease. However, the presence of African buffalo in the Horn of Africa may have less of an effect on FMD infections in cattle in comparison to the southern part of Africa. The danger of FMD in the region is increasing because of high genetic diversity, poor husbandry, a poor control approach, no biosecurity practices coupled with unregulated trade, and pastoral herds movement in search of pasture and water as a result of recurring drought. To this end, early diagnosis and implementation of a suitable control approach need to focus on biosecurity."}
+{"text": "The global burden of disease (GBD) has shifted from communicable, maternal, perinatal, and nutritional causes to non-communicable diseases such as atherosclerosis or metabolic disease within the last 20\u201330 years , 2. In 2According to reports of the Lancet Commission on Pollution and Health , the WorThe present special issue provides an overview of the health effects of tobacco cigarette and shisha smoking, E-cigarette vaping, usage of other novel nicotine delivery systems, sedentary lifestyle or over-nutrition, and alcohol use with a focus on adverse effects on endothelial function and cardiovascular health. The negative effects of the toxic constituents of these tobacco (replacement) products, as well as the beneficial effects of exercise or fasting on different biological pathways, will also be discussed, especially regarding their impact on key vascular processes such as nitric oxide signaling, smooth muscle proliferation, remodeling, and atherosclerosis, in part driven by oxidative stress and inflammatory cascades. With the present Special Issue, we want to highlight the pathomechanisms underlying cardiovascular and metabolic disorders in response to environmental risk factors and the existing research gaps. We will also emphasize emerging mechanisms based on dysregulation of epigenetic pathways by environmental lifestyle and behavioral risk factors.The overview provided by Daiber et al. highlights the threats and benefits of E-cigarette vaping in comparison with classical tobacco cigarette and shisha smoking . The toxFasipe et al. provide a review on the cardiometabolic health risks of sedentary lifestyle and the beneficial effects of physical exercise . The autLifestyle risk factors share common pathophysiological pathways centered on oxidative stress and inflammation. Oxidative stress and inflammation also represent hallmarks of all cardiovascular, neurodegenerative, and metabolic diseases. Due to this overlap of these central pathomechanisms, we may expect additive/synergistic adverse biochemical effects in response to environmental, lifestyle, and traditional health risk factors leading to aggravated pathogenesis of non-communicable diseases in a bonfire fashion , 33. Whe"}
+{"text": "Respiratory syncytial virus (RSV) is a leading cause of acute respiratory infections resulting in a significant burden worldwide, particularly in children and older adults. This collection calls for original research papers that advance our understanding of the epidemiology, evolution, diagnosis, clinical management, and prevention of RSV infections. Respiratory syncytial virus (RSV) is a leading cause of acute respiratory tract infection, including lower respiratory tract infection (LRTI). Before the coronavirus disease 2019 (COVID-19) pandemic RSV represented the fourth cause of overall disability-adjusted life-years at all ages .RSV annual epidemiology is also impacted by the alternation of the subtypes A and B and, within them, by genetic variations of strains or lineages . Indeed,Before the COVID-19 pandemic, the detection of RSV infections followed a predictable seasonal pattern each year. During the first year of the pandemic, respiratory viruses, including RSV, caused an unusually low number of infections and related hospitalizations in the first phase of the COVID-19 pandemic, due to the implementation of non-pharmaceutical interventions . The subCurrently, treatment of RSV infections relies on supportive care including supplemental oxygen, rehydration, and mechanical ventilation when critical. Antiviral treatment with aerosolized ribavirin is limited to severe infections in immunocompromised patients . Until rTM) for adults aged 60 and older and for pregnant women (AbrysvoTM) to protect infants from birth up to 6 months of age [On the vaccine front, after decades of troubled RSV vaccine development, four randomized clinical trials in older adults and pregnant women were recently published revealing a breakthrough in providing a high level of protection against RSV \u201315. The s of age .The recent advances and progress toward the prevention of RSV have re-energized the field and highlighted the need for continued research to better understand the disease as well as the epidemiology and evolution of RSV. Studies assessing the impact of the newly approved immunotherapeutic and vaccines on RSV burden and genetic diversity are critically needed. This collection calls for original research papers that aim to improve our understanding of RSV epidemiology, evolution, diagnosis, clinical management and prevention."}
+{"text": "The rapidly evolving field of Behavioral Neuroscience has made significant strides in understanding the complex mechanisms that govern human behavior, decision-making, and wellbeing. One area of particular interest is the study of Motivation and Reward, which has the potential to provide valuable insights into the underlying processes driving these behaviors. This Research Topic aims to highlight the latest advancements, challenges, and future perspectives in this area of study by showcasing a diverse range of original research and review articles submitted by esteemed researchers.Bessa et al. used Siamese Fighting Fish (Betta splendens) as a biological model to study hormonal fluctuations during foraging. They found that an optimal level of cortisol maximizes foraging performance, while extreme levels of basal cortisol, both low and high, are associated with reduced average reward . Importantly, to model foraging decisions, the authors applied the \u03b5-greedy algorithm 2013 data was used by Aslam et al. to conduct a Latent Class Analysis (LCA) for the entire sample of teenagers, as well as separately for each sex. In this original research article, the authors identified five subsets of youth engaging in risky behavior: those who do not engage in risky behavior , those with depressive symptoms and suicidal thoughts (Class 3), those with a high likelihood of using cigarettes and liquor (Class 4), and those who are polysubstance users (Class 5). Gender variations were also detected in the higher risk of mood disorders and depression among females.The manuscripts collected here encompass various aspects of Motivation and Reward, demonstrating the interdisciplinary nature of this field. Topics explored in the three original research articles include the application of machine learning techniques to understand the impact of stress hormones on animal behavior, the study of the differences between males and females in the long-term learning deficit induced by the co-exposure to the main consumed drugs during adolescence , and the role of race and ethnicity in shaping risk-taking behaviors in adolescents. Specifically, a first study by Weinstein, enriches the Research Topic of a comprehensive analysis of the literature on the fMRI studies conducted on healthy subjects, both on motivation and reward in tasks such as the Sequential choice task (Symmonds et al., Monetary incentive delay task (Mori et al., Monetary and verbal reward task (Albrecht et al., Reaction-time task with goal-irrelevant expectancy violations in states of high- or low-reward motivation (Murty and Adcock, Kibret et al., which illustrates an up-to-date scenario of this contribution. The role of motivation and reward in promoting healthy behaviors was timely addressed by Michaelsen and Esch, who provide an insightful critical reading on the throughput that goal-oriented, stimulus-driven, and approach motivation play in nudging (Hansen and Jespersen, The current state of neuroimaging research in the context of motivation and reward, reviewed by Collectively, the potpourri of original research and reviews included in this Research Topic provides a comprehensive overview of the current state of Motivation and Reward research. By highlighting the latest discoveries, developments, and future challenges, this Research Topic seeks to inspire further research, promote funding opportunities, and guide researchers in their pursuit of unraveling the complex mechanisms that drive motivation and reward. Furthermore, this Research Topic emphasizes the importance of interdisciplinary collaboration, incorporating perspectives from biosciences, life sciences, medicine, psychiatry, and the mind to facilitate a more comprehensive understanding of motivation and reward mechanisms. By fostering an environment of curiosity and open-mindedness, we hope to encourage the development of innovative approaches and solutions to the challenges faced in this rapidly advancing field.We believe that this Research Topic will serve as a valuable resource for researchers, academics, and professionals interested in the study of motivation and reward, providing direction and guidance for future investigations, and promoting the growth of knowledge in this essential area of Behavioral Neuroscience.MK: Writing\u2014original draft, Writing\u2014review and editing. EA: Writing\u2014original draft, Writing\u2014review and editing. LF: Writing\u2014original draft, Writing\u2014review and editing."}
+{"text": "The prevalence of oral squamous cell carcinoma (OSCC) has increased in recent decades, and its impact on the health system has become a new aspect. In addition to the well-known exogenous noxae like nicotine and alcohol consumption, as well as some distinct nutritional habits such as betel nut chewing and virus infection by the human papilloma virus (HPV), its transfer via sexual practices augmented the recent increase in the incidence of oropharyngeal cancer . FinallyIn parallel, our understanding of the initiation and development of oral cancer has also changed substantially. The molecular basis for the epithelial invasion mechanisms, including the epithelial\u2013mesenchymal transition (EMT) and remodeling of the extracellular matrix (ECM), not only intensified our knowledge concerning the underlying pathology but also brought more sophisticated diagnostic methods and prognostic tools, as well as promising therapeutic options for patients with OSSC ,3,4.The original research and review articles included in this Special Issue elucidate the diversity of molecular mechanisms involved in the onset, invasion, and progression of OSCC, with particular attention paid to the role of HPV infection and multimodal treatment. Finally, a state-of-the-art review of modern 3D-based microsurgical reconstruction following ablative oncologic surgery of the head and neck region enriches the scope of this Special Issue ,6. These"}
+{"text": "Since the first report in March 2020, Kenya experienced five waves of coronavirus 2019 (COVID-19), with cases and deaths reported in all 47 counties, amounting to 323\u2009000 and 5600, respectively, in late March 2022 function as an instrument of international law and provide a legal framework that binds member states . Its mon functionThe first COVID-19 IAR was conducted in Kenya from 31 May to 1 June 2021. Ninety-five from national and county levels participants attended the meeting with the Ministry of Health and multiple stakeholders ). The IAR in Kenya identified best practices and challenges, suggesting recommendations based on nine COVID-19 response pillars:Country-level coordination, planning, and monitoring;Risk communication, community engagement, and infodemic management;Surveillance, case investigation, and contact tracing;Points of entry;National laboratory system;Infection prevention and control;Case management and knowledge sharing about innovations and the latest research;Operational support and logistics in the management of supply chains and workforce resilience;Strengthening essential health services during the COVID-19 outbreak.Best practices were summarised in four points:Strong political will and support at national and county levels, enabling smooth COVID-19 operations and resource allocation;Strong coordination and partnership mechanisms;Early development and dissemination of guidelines, policies and Standard Operating Procedures (SOPs);Utilization of existing structures and resources, such as a legal framework for emergencies, coordination structures, infrastructure, previous capacities developed through training, and existing supply chain management.Conversely, the key challenges identified were as follows:Funding gaps and delayed disbursements, leading to inadequate resources;Lack of strong monitoring and evaluation systems;Inadequate supply chain management and lack of capacity for local manufacturing ;Inadequate data management systems including paper-based systems;Fast-evolving pandemic requiring prompt adaption of systems, infrastructure, guidelines, policies;Surge in cases and deaths by waves, with 5180 health worker infections and 40 deaths reported from all counties.While these findings were largely similar to outcomes in other WHO AFRO countries , some stThe IAR process was not an evaluation, but an open, honest reflection of key stakeholders on their contribution to the response. It helped with critically reviewing the prolonged COVID-19 response in Kenya and identifying areas for improvement without assigning blame, making honest reflection possible. The findings were successfully shared with multiple partners and senior management decision-makers, helping with the development of a COVID-19 resurgence plan, the review of response policies, guidelines, SOPs, and the application for funding.However, due to insufficient implementation of IAR recommendations to address the discovered gaps, several challenges identified from mid-2021 still have to be addressed. Since June 2021, the variant of concern (VoC) Delta became dominant in Kenya, and inadequate resources in surveillance, rapid response, and case investigation brought higher SARS-CoV-2 test positivity rate and hindered timely information sharing, adequate risk assessment and projections, effective public health actions, and data-driven decision-making. The high demand for intensive care units (ICUs) and medical oxygen highlighted issues in health service delivery and workforce, including manufacturing, procurement, and supply chain of medical oxygen. Regarding infection prevention and control (IPC), sub-optimal allocation of personal protective equipment (PPEs) contributed to a higher number of COVID-19 patients among health care workers.The emergence of the Omicron VoC from November 2021 also exposed critical challenges in laboratory pillar to detect new variants. The number of genomic sequencings did not reach the optimal level of over 100 sequences per month . Due to The IAR was able to identify cross-cutting issues across response pillars. Attendance of health sector partners added value to the overall pandemic preparedness and response. Strong leadership and governance to strengthen incident management structure and response capacity is a key area to achieving an effective coordination at national and sub-national levels. The use of home-based care during COVID-19 has brought positive opportunities and contributed significantly to reduce the burden on health facilities in the country and facilitated the engagement with the community. It is promising that findings from IAR were incorporated into the resurgence plan and were internally reviewed for launching the National Action Plan for Health Security. However, as the COVID-19 pandemic is expected to continue for years, regularly conducting IAR and reviewing the responses across pillars will be beneficial as a monitoring and evaluation tool to continuously improve on identified weak areas for health emergency response. Integrating the vaccine pillar into the next IAR at the national level will enrich the discussion.These challenges need to be addressed in view of building resilient and sustainable systems for health. Findings from the IAR should inform the review of existing health policies, strategies, and preparedness plans. Despite an initial huge impact, Kenya could gradually mitigate the impact of COVID-19 on essential health services (EHSs), setting a good example . SeveralThere have also been multiple health emergencies in Eastern Africa, such as outbreaks of yellow fever, cholera, dengue, rift valley fever, and drought in the Horn of Africa. To mitigate their impact on the lives and livelihoods of citizens, Kenya can reinforce and exert its leadership in public health at the regional level. Encouragingly, Kenya will host a second logistic hub which will equip emergency medical personnel, stockpile commodities, and equipment and willIn conclusion, we recommend the following:The IARs, if conducted with participation of all responders and partners, enable countries to institute corrective measures during the emergency.Regular conduction of IAR and review of responses across pillars will help strengthen capacity in health emergency preparedness and response.Findings from the IAR must be fully utilised for health initiatives outside of health emergencies, as root causes of challenges are sometimes interlinked.The launch of new logistic hub and transfer of technology for vaccine production will elevate Kenya to exert its leadership in public health at the regional level."}
+{"text": "Social inclusion is a multidimensional concept, referring to ample participation in key social, cultural, economic and political activities. Since the turn of the century, social inclusion has become a guiding principle in policy recommendations of many international and national bodies, aiming to improve the lives of people with mental ill-health. More recently, social inclusion has been increasingly used as an outcome measure, to test the effectiveness of complex interventions, especially in the field of global mental health.This presentation will focus on: (1) current definitions and controversies in research on social inclusion for and with people with mental ill-health; (2) measuring social inclusion; and (3) the evidence-base of interventions to improve social inclusion. Special attention will be given to recovery-oriented interventions in global mental health such as peer support.In summary, over the last years, impressive conceptual and methodological advances have been made to transform policy rhetoric into meaningful and effective interventions. However, challenges remain, including consensus on culturally appropriate measurement of social inclusion, and balancing the roles and responsibilities of all stakeholders across the entire exclusion-inclusion continuum to promoting social inclusion and mental health.None Declared"}
+{"text": "Although mastectomy is a treatment for the cleaning of cancer cells in the breast, it can also cause psychological changes in women.This research was carried out to investigate the cognitive distortions, mental symptoms, and marital adjustment relationships in women with mastectomy.The descriptive and comparatice study was conducted in a public hospital with 90 mastectomies and 90 healthy female samples. The data were collected using The Cognitive Distortions Scale (CDS), The Brief Symptom Inventory (BSI), and Marriage Adjustment Scale (MAS) and were evaluated by descriptive statistical analyzes, t test, Mann-Whitney U test and Spearman Correlation Analysis.Women with mastectomy scored high in the healthy control group in all sub-dimensions of CDS and BSI and this difference is highly significant . Women with mastectomy scored higher in total agreement sub-dimensions than the healthy control group and the difference between them was statistically significant . There ara positive, very strong and statistically significant relationships between all sub-dimensions of the CDS and the total sub-dimension scores of the BSI . There are positive, strong and statistically significant relationships between the sub-dimensions of the CDS and the sub-dimension of the agreement and the total score of MAS (r=681 and 734). There are strong and statistically significant relationships between the total and sub-dimension scores of the BSI and the sub-dimension and total score of the MAS\u2019s agreement .Cognitive distortions and mental symptoms are significantly higher in women with mastectomy, and cognitive distortions are associated with mental symptoms. Cognitive distortions and psychological symptoms scores, marriage adjustment scores and agreement sub-dimension scores increase in women.None Declared"}
+{"text": "Professor RNDr. Petr Nachtigall, PhD passed away on 28 December 2022. He was an internationally recognized expert in computational materials science; working at Charles University in the Department of Physical and Macromolecular Chemistry. We honor his memory. Professor Petr Nachtigall was an internationally recognized expert in computational physical and materials science. He received his PhD at the University of Pittsburgh. After returning to Prague, he worked at the J. Heyrovsky Institute of Physical Chemistry, later at the Institute of Organic Chemistry and Biochemistry of the Czech Academy of Sciences, and since 2009 at the Faculty of Science of Charles University where he was a major leader in the Charles University Centre for Advanced Materials. Petr has regularly published in the most prestigious scientific journals: he is the author of 181 well-recognized publications.Petr was a computational chemist who liked to solve materials chemistry problems in close collaboration with experimentalists and he was very successful in that. Where necessary, he implemented techniques beyond routine methodology. In particular, he found ways to overcome the limitations of density functional theory. Petr had wide-ranging expertise in computational chemistry and he advanced the understanding of adsorption complexes and reaction mechanisms in zeolites and metal\u2013organic frameworks at the molecular scale. His studies of new types of two-dimensional materials lead to an improved understanding of their very interesting properties, for example the superior lithium-storage properties of silicene nanosheets or utilization of two-dimensional zeolites for fabrication of new materials.Petr\u2019s theoretical insight into the synthesis of new materials contributed significantly to the discovery and theoretical explanation of the new ADOR (assembly-disassembly-organisation-reassembly) method of zeolite synthesis, thanks to which more than 10 new types of zeolites have already been synthesized. Petr received several awards during his career, including the Bed\u0159ich Hrozn\u00fd Prize for Basic Research (2015), the Prize of the Czech Minister of Education, Youth and Sports for significant results of basic research in natural sciences (2019) and the Donatio Universitatis Carolinae (2021).In Petr Nachtigall we lose not only an outstanding scientist, teacher, and mentor, but also a great person, a dear colleague and friend."}
+{"text": "The emergence of the infectious diseases, such as the novel coronavirus, as a significant global health threat has emphasized the urgent need for effective treatments and vaccines. As infectious diseases become more common around the world, it is important to have strategies in place to prevent and monitor them. This study reviews hybrid models that incorporate emerging technologies for preventing and monitoring infectious diseases. It also presents a comprehensive review of the hybrid models employed for preventing and monitoring infectious diseases since the outbreak of COVID-19. The review encompasses models that integrate emerging and innovative technologies, such as blockchain, Internet of Things (IoT), big data, and artificial intelligence (AI). By harnessing these technologies, the hybrid system enables secure contact tracing and source isolation. Based on the review, a hybrid conceptual framework model proposes a hybrid model that incorporates emerging technologies. The proposed hybrid model enables effective contact tracing, secure source isolation using blockchain technology, IoT sensors, and big data collection. A hybrid model that incorporates emerging technologies is proposed as a comprehensive approach to preventing and monitoring infectious diseases. With continued research on and the development of the proposed model, the global efforts to effectively combat infectious diseases and safeguard public health will continue. The coronavirus pandemic has had a devastating impact on the world, spreading to 188 countries and causing more than 1 million deaths. Governments have reacted by executing arrangement bundles, such as closing schools and limiting individuals to their homes, which have been effective in abating the development of the infection. In the subsequent sections, a detailed review of the hybrid models utilized for disease prevention and monitoring, analyzing their effectiveness by incorporating blockchain, IoT, big data, and AI, is presented. Furthermore, the proposed hybrid conceptual framework model, highlighting its potential to tackle the current pandemic through proactive and preventative measures, is discussed.The advent of the novel COVID-19 virus has prompted a substantial amount of research into the creation of useful methodologies for the prevention and monitoring of diseases. The primary objective of this literature review is to provide a comprehensive overview of the hybrid models utilized to tackle the issues presented by infectious illnesses, with an explicit emphasis on the emerging technologies, such as blockchain, IoT, big data, and AI.By combining these technologies, this model seeks to revolutionize the way we respond to public health crises, opening new possibilities for the future. Most importantly, the hybrid conceptual framework model advocates for a preventive strategy to reduce the spread of the virus and its impact on society. This paper seeks to explore the potential of this innovative framework and its ability to revolutionize our response to the pandemic.Blockchain innovation can be utilized to guarantee the secure and tamper-resistant capacity and sharing of sensitive well-being information. It provides a decentralized and straightforward stage where information can be safely stored and controlled through cryptography. Within the setting of irresistible illnesses, records, tests, inoculation information, and other pertinent data can be stored in the blockchain, guaranteeing the security and authenticity of the information . IndividInternet of Things (IoT) devices, including wearable sensors, environmental sensors, and medical equipment, can gather information about infectious diseases in real time. IoT devices, for instance, can track vital signs, such as respiratory rate, heart rate, and body temperature, to identify early signs of infections. Environmental sensors can track the air quality and look for pathogens nearby. The collected data can be securely transmitted by these IoT devices to the blockchain for additional analysis. Big data analytic techniques can be used to process and analyze the enormous amount of data gathered from IoT devices as well as other pertinent data sources, such as social media, electronic health records, and public health databases. Infectious-disease-related patterns, correlations, and trends can be found using this analysis. Using cutting-edge analytic algorithms, machine learning and data mining make it possible to detect disease events, forecast the spread of infections, and evaluate the effectiveness of prevention measures . IoT colArtificial intelligence (AI) algorithms can be employed to provide decision support in various aspects of infectious disease prevention and monitoring. For instance, machine learning models can predict the likelihood of an individual contracting a specific disease based on their health records and environmental data. AI can also help in contact tracing by analyzing data from multiple sources and identifying potential infection hotspots. Natural language processing (NLP) techniques can be used to extract relevant information from the medical literature and assist in drug discovery or treatment recommendations . AI techBig data offers an effective way to map and combine various data sources to gain insight into the tracking of the COVID-19 outbreak. Furthermore, it enables us to comprehend virus structure and treatment, as big data platforms can be equipped with sophisticated modelling tools that enable the construction of complex simulation models using the COVID-19 data stream. Therefore, text mining algorithms are essential. Nevertheless, the sheer amount of data and the speed at which it must be processed necessitates the use of AI-based intervention .A comprehensive review and comparison of existing techniques is presented in this section regarding the prevention and monitoring of infectious diseases. The objective is to provide a thorough assessment of the strengths, weaknesses, and effectiveness of various approaches employed in detecting and monitoring infectious diseases, particularly in the context of the COVID-19 pandemic. The review encompasses a wide range of techniques, including big data analytics, artificial intelligence, nature-inspired computing, blockchain, Internet of Things, and other emerging technologies. By systematically analyzing and comparing these techniques, the article aims to identify the most promising and effective strategies for disease prevention, contact tracing, and data management. Through this review and comparison, valuable insights and recommendations can be derived to guide future research and development efforts in the field of infectious disease surveillance and control.Agbehadji et al. discusseThe study in reviewedA theoretical model called virus epidemic prediction system (VEPS) was proposed for predicting infectious diseases . The modTopol highlighDeebak and Al-Turjman proposedEach study in the table demonstrates the utilization of emerging technologies to tackle different aspects of the pandemic. By summarizing the tools used and the outcomes achieved, the table provides a comprehensive overview of the research landscape in the field of infectious disease management. It showcases the diversity of approaches and the potential of these emerging technologies in combating the spread of infectious diseases and improving public health outcomes.The purpose of this matrix is to assess and compare different techniques in terms of their capabilities for managing and monitoring the spread of a pandemic. This quick comparison of these techniques based on their specific features aids researchers and practitioners in understanding the strengths and limitations of each technique within the context of a hybrid system for pandemic management.The proposed hybrid system is called hybrid disease prevention, monitoring, and management system (HDPMMS). This hybrid system, which combines emerging technologies, including blockchain, IoT, big data, and AI, provides a comprehensive solution for disease prevention, monitoring, and management see . The HDPBlockchain-based secure contact tracing and source isolation: The HDPMMS utilizes blockchain technology to enable secure and transparent contact tracing. It ensures that the transmission of infections can be effectively tracked, and source isolation can be implemented securely. By leveraging the decentralized nature of blockchain, the system enhances data privacy and security, reducing the risk of unauthorized access and tampering.Integration of IoT sensors for real-time data collection: IoT sensors are integrated into the HDPMMS to collect real-time data on vital health parameters. These sensors can monitor various physiological indicators, such as body temperature, heart rate, and respiratory rate. The continuous data collection allows for the early detection of potential outbreaks and enables proactive interventions.Big data analytics for data-driven insights: The HDPMMS incorporates big data analytic techniques to analyze the collected data from IoT sensors and other sources. Through data preprocessing, cleaning, and analysis, the system can derive meaningful insights and identify patterns related to disease dynamics. This enables researchers and healthcare professionals to make informed decisions and develop data-driven strategies for disease prevention and control.AI for symptom identification and drug manufacturing support: The HDPMMS employs AI algorithms to support symptom identification and drug manufacturing. AI algorithms can analyze vast amounts of patient data and medical records, identifying patterns and symptoms associated with specific diseases. This aids in early detection, accurate diagnosis, and timely interventions. AI can also assist in drug-manufacturing processes, such as predicting the efficacy of potential therapeutics and optimizing drug development.The HDPMMS represents a proactive approach to disease prevention and monitoring by integrating the power of blockchain, IoT, big data, and AI technologies. By combining these technologies, the system aims to provide real-time insights, secure contact tracing, early detection of outbreaks, and support for effective drug development. The HDPMMS has the potential to revolutionize disease control strategies, enabling timely interventions and proactive measures to combat the ongoing pandemic and future global health threats.The hybrid disease prevention, monitoring, and management system incorporates various functions to effectively address disease prevention and monitoring. Secure contact tracing: The HDPMMS utilizes blockchain technology to enable secure contact tracing. It allows for the recording and tracking of individuals\u2019 interactions, ensuring that the transmission of infectious diseases can be effectively monitored and traced. The decentralized and tamper-resistant nature of the blockchain ensures data integrity and privacy.Source isolation: The HDPMMS facilitates source isolation by identifying and isolating the origin of the infection. By leveraging blockchain technology, the system can securely track the source of infection and prevent further spreading. This function is crucial in containing outbreaks and minimizing the impact of infectious diseases.Real-time data collection: The HDPMMS integrates IoT sensors to collect real-time data on vital health parameters. These sensors monitor individuals\u2019 physiological indicators, such as body temperature, heart rate, and respiratory rate. Continuous data collection enables the early detection of potential outbreaks and provides real-time insights into individuals\u2019 health conditions.Data analytics and insights: The HDPMMS incorporates big data analytic techniques to analyze the collected data. Through data preprocessing, cleaning, and analysis, the system derives meaningful insights and identifies patterns related to disease dynamics. This function enables healthcare professionals and researchers to make informed decisions, develop data-driven strategies, and allocate resources effectively for disease prevention and control.Symptom identification: The HDPMMS employs AI algorithms to identify symptoms associated with infectious diseases. By analyzing vast amounts of patient data and medical records, AI algorithms can detect patterns and identify specific symptoms indicative of diseases. This function aids in early detection, accurate diagnosis, and timely interventions.Drug-manufacturing support: The HDPMMS utilizes AI to support drug-manufacturing processes. AI algorithms can analyze molecular structures, predict the efficacy of potential therapeutics, and optimize drug development. This function enables researchers and pharmaceutical companies to expedite the drug discovery and development process, thus leading to more effective treatments for infectious diseases.Overall, the HDPMMS combines secure contact tracing, source isolation, real-time data collection, data analytics, symptom identification, and drug-manufacturing support to provide a comprehensive approach to disease prevention and monitoring. By leveraging the emerging technologies, the HDPMMS aims to enhance early detection, proactive interventions, and effective response strategies, ultimately mitigating the impact of infectious diseases on a global scale.Implementing the HDPMMS framework can enhance disease surveillance capabilities by enabling real-time data collection and analysis. The integration of IoT sensors and the utilization of big data analytics allow for the early detection of outbreaks, prompt response to emerging threats, and accurate monitoring of disease trends. This leads to more effective disease surveillance and better-informed decision-making.Improved contact tracing and source isolation: The HDPMMS\u2019s secure contact-tracing function through blockchain technology enables the efficient and transparent tracking of individuals\u2019 interactions. By accurately identifying and isolating the source of the infection, the system helps to contain the spread of infectious diseases more effectively. This capability minimizes the risk of further transmission and contributes to the overall control of outbreaks.Timely symptom identification and diagnosis: The integration of AI algorithms in the HDPMMS enables timely and accurate symptom identification. By analyzing patients\u2019 data and medical records, the system can detect specific symptoms associated with infectious diseases, allowing for early diagnosis and appropriate treatment. This leads to improved patient outcomes and facilitates the implementation of targeted interventions.Facilitated drug-manufacturing and development process: The HDPMMS\u2019s AI-driven drug-manufacturing support function streamlines the drug discovery and development process. By leveraging AI algorithms to analyze molecular structures and predict drug efficacy, researchers and pharmaceutical companies can expedite the development of effective therapeutics. This accelerates the availability of treatments and improves the overall management of infectious diseases.Proactive and data-driven decision-making process: The HDPMMS provides decision-makers with data-driven insights and actionable information. By utilizing big data analytics, the system generates meaningful insights and patterns related to disease dynamics. This empowers healthcare professionals, policymakers, and researchers to make proactive decisions, allocate resources efficiently, and implement targeted interventions to prevent and control the spread of infectious diseases.The implementation of the HDPMMS results in improved disease surveillance, efficient contact tracing and source isolation, timely symptom identification, facilitated drug manufacturing, and proactive decision-making. These outcomes contribute to the overall effectiveness of disease prevention and monitoring efforts, helping to mitigate the impact of infectious diseases and safeguard public health.In conclusion, the HDPMMS presents a comprehensive and innovative approach to address the challenges posed by infectious diseases. By integrating blockchain, IoT, big data analytics, and AI, the HDPMMS offers a holistic solution for disease prevention and monitoring. Through the implementation of the HDPMMS, several key benefits can be achieved. The system enables secure contact tracing and source isolation, ensuring the effective control of disease transmission. Real-time data collection from IoT sensors facilitates the early detection of outbreaks and provides valuable insights into individuals\u2019 health conditions. The application of big data analytics allows for data-driven decision-making, enhancing disease surveillance and response strategies. Additionally, AI supports symptom identification and drug manufacturing, improving diagnosis and facilitating the development of effective therapeutics.The HDPMMS emphasizes proactive measures and preventive solutions, rather than over-reliance on treatments and cures. By leveraging emerging technologies, the system empowers healthcare professionals, researchers, and policymakers to take prompt actions, allocate resources efficiently, and implement targeted interventions to mitigate the impact of infectious diseases.The HDPMMS has the potential to revolutionize disease prevention and monitoring strategies, leading to improved public health outcomes. However, it is important to acknowledge that the implementation of such a hybrid system requires the careful consideration of ethical, legal, and privacy implications. Collaboration among various stakeholders, including healthcare organizations, technology providers, and regulatory bodies, is crucial to ensure the responsible and effective deployment of the HDPMMS.Henceforth, further research and development are needed to refine the HDPMMS and optimize its performance. Continued advancements in technology, data management, and algorithmic capabilities will contribute to the ongoing evolution of this hybrid system. By harnessing the power of emerging technologies, the HDPMMS offers promising prospects for addressing the ongoing pandemic and future global health threats, ultimately improving the health and well-being of populations worldwide."}
+{"text": "To introduce Section 1013 of the Medicare Prescription Drug,Improvement, and Modernization Act (MMA) of 2003 and the Agency forHealthcare Research and Quality's (AHRQ) Effective Health Care Program.AHRQ, under Section 1013 of the MMA of 2003, has be encharged with conducting specific health care outcomes studies through the Effective Health Care Program. This research is aimed specifically at determining the safety and effectiveness of certain pharmaceuticals since comparative data is currently lacking. Highly utilized, high-cost (or both)treatments are the focus of the studies that will be conducted through AHRQ's Evidence-based Practice Centers (EPCs) and the Developing Evidence to Inform Decisions about Effectiveness (DEcIDE) Network. Current and completed projects are noted, including more detailed information on the reviews pertaining to treatment of rheumatoid arthritis with nonbiologic disease-modifying antirheumatic drugs (DMARDs) and biologics (anti-tumor necrosis factor[TNF]-a therapies).AHRQ's EPCs and the DEcIDE Network are studying safety and the comparative effectiveness of a number of different pharmaceutical-related topics, including the safety and effectiveness of biologic and nonbiologic DMARDS . The final reports, once complete, will be translated and then disseminated to all stakeholders."}
+{"text": "This Special Issue is aimed to collect scientific papers that support holistic methodological approaches, both top-down and horizontal, for the correct application of various omics sciences because, when well-integrated, they can contribute to our understanding of the genotypic plasticity of plant species.The goal of molecular biology scientific research on agricultural crops is to use the developed technologies in order to recognize and manipulate the levels of metabolites for food applications such as nutraceutical, clinical therapeutic and pharmaceutical purposes and for the subsequent formulation of appropriate dosages, with positive effects on metabolic syndromes, including reduced risks of morbidity and mortality. In the field of bioinformatics and computational biology, high-throughput omics technologies, which can be used with tailored and even predictive approaches, such as genomics, transcriptomics, proteomics, lipidomics, metabolomics, interactomics and systems biology, are undertaking to develop and characterize specific molecular markers linked to loci of interest in order to decrease the time duration of specific breeding programs through the fast screening of thousands of genotypes for traits of interest, enabling researchers to produce intermediate and final metabolites in plants that are useful in translational biology ,2,3.In fact, the most readily transposable approach concerns the study of the aggregation of successive reactions in a model multienzymatic pathway within organelles , because it can be implemented without drawbacks. In fact, the instability of biological systems and low efficiency of non-compartmentalized metabolic pathways are often observed both when catalyzed by spatially separated enzymes and when crowding, the formation of nanodomains and altered local viscosities have effects on biochemical processes involving proteins ,5,6,7. TPhylogenetically, organellar enzymes show significant sequence similarity (homology) between plants and cyanobacteria and/or closely related lifeforms, which facilitates the isolation of species-specific genes. Therefore, the starting point is bioinformatics for a complete in silico study of both the known gene loci (which transcribe enzymes) and the metabolites (such as substrates or end products) involved in the highlighted pathway. In particular, comparative genomics studies of orthologous genes in pathways of interest, both between and within species, that are identifiable in public databases and already functionally characterized , should Today, the application of genomic, biochemical and physiological approaches for enhancing our knowledge of specific metabolic pathways and their related genes, include the systemized NGS, Illumina, Ion Torrent, PacBio and nanopore technology sequencing platforms; high-throughput genome annotation for genotyping purposes; phenomics platforms; high-resolution transcriptomics; and the bioinformatic analysis of DNA sequencing data , as well as RNA, micro-RNA and micro-transcriptomics via laser capture microdissection (LCM), chromatin immunoprecipitation (ChIP), in situ hybridization, proteomics, lipidomics and epigenomics. Several research consortia have pursued the aims of sequencing plant genomes and studying their structures, characterizing transcriptomes, identifying genes, regulatory elements and metabolomes, and developing new markers to enhance the potential of a species in order to re-evaluate and protect germplasms and to breed desirable genotypes required for productive, sustainable and resilient agriculture.It is my belief that well-designed and well-executed scientific experiments in the field of plant metabolism genetics can be used to answer questions and support hypotheses more promptly and effectively than the reductive but no less important conception and execution of in silico solutions, while supporting the validity of the predictive indication of the latter.By querying in databases, genomic sequences are identified from cDNA libraries based on the sequence homology of the exons. On the other hand, the certainty of identifying the two possible alleles at the gene locus of interest (tissue- and moment-specific), in both homozygosity and heterozygosity, is based on the sequence homology of the introns .The cloning and sequencing of the gene loci for germplasm genotyping lead to the identification of the variable allelic composition structure and reveal the alleles carrying high or low expressions of the traits. These processes also lead to the development of SNPs (Single-Nucleotide Polymorphisms), insertion/deletion and SSR databases which can represent the precious molecular markers within a plant species for the functional genotyping of varieties which show differential gene expressions for the production of metabolites of interest, which can be defined as real QTLs ,11,12. IqRT-PCR is used to analyze different correctly collected plant and fruit tissues in different stages of development , allowing us to determine the relative expression levels in the plant and the loci that behave as endogenous genes (housekeeping) that could act as the best controls a\u2013c. ThisThis research combines EST-cDNA (Expressed Sequence Tag) libraries and subtractive libraries, transcriptomes and RNA-Seq data on organs/tissue that are available with the quantification of the gene expression levels (RPKM) ,16,17. TThe data available on the gene sequences and the genetic factors that control the agronomic behavior of plants are still scarce and fragmentary, partly because the comparative genomes have not yet been obtained as secure assembling of chromosomes, especially in highly heterozygous plants with highly repeated genomes . HoweverFor the sake of methodological thoroughness, functional genomics studies are an attractive means of making significant progress in translational research . Thus, aThe applications of multiple molecular biology, computational and bioinformatics technologies in the scientific contributions accepted for publication in this Special Issue offer peculiar/specific demonstrations of the implementation of various desired and correct macro-approaches."}
+{"text": "Brazilian National Survey on ChildNutrition (ENANI-2019) pointed out several advances but numerouschallenges. In this paper, we reflect on the implementation progress ofbreastfeeding, complementary feeding and young children malnutrition strategiesand programs in Brazil and how existing challenges can be overcome through thelens of implementation science. First, we present a brief history of suchprograms. Second, we selected two breastfeeding initiatives to illustrate andreflect on common implementation challenges. In these case studies, we used theRE-AIM frameworkto analyze the implementation and scaling up barriers and facilitators. We foundcommon barriers related to unclear goals about the reach of programs, challengesin assessing effectiveness and fidelity/quality during the real-worldimplementation, discontinuation or lack of funding, and lack of monitoring andevaluation impacting the sustainability of programs. We also discuss the use ofimplementation science to achieve adequate nutrition by 2030 and presentcritical elements for successful scale implementation of nutrition programsbased on global evidence. Despite the investment to implement different actionsaimed at facing infant feeding and malnutrition, high-quality implementationresearch must become a priority to catalyze progress in Brazil. Malnutrition in all its forms has risen on global agendas due to the recognitionof its magnitude and consequences for a wide range of human, social, andeconomic outcomes. Implementing strategies and programs with the needed scaleand quality is a major challenge. The Attention is drawn, for example, tothe increased consumption of ultra-processed foods in the first years of life The FederalConstitution of 1988 incorporated a concept of social security asan expression of the social rights inherent to citizenship through the guaranteeof a set of economic and social policies, including creating the BrazilianUnified National Health System (SUS) Law n. 8,080), which established the SUS, providedguidance for monitoring nutritional and dietary practices.In the 1980s, social movements focused on defending the return to democracygenerated the Brazilian Health Reform Movement. The At the end of the 1990s, the Brazilian National Food and Nutrition Policy (PNAN)was created and coordinated by the Brazilian Ministry of Health through theGeneral Coordination of Food and Nutrition Policy (CGPAN), currently theGeneral-Coordination of Food and Nutrition (CGAN) In this period, along with important achievements of the SUS, such as theexpansion of primary health care coverage, the reduction of infant mortalityrates, and the promotion of food and nutrition security, Brazil experiencedseveral changes in socioeconomic and demographic indicators that led to anepidemiological and nutritional transition Ordinance GM/MS n. 1,130 of August 5, 2015).Specifically, the second pillar explicitly promotes breastfeeding and healthycomplementary feeding. After the extinction of INAN in 1997, breastfeeding promotion, protection, andsupport were coordinated by the children\u2019s health area within the BrazilianMinistry of Health. In 2015, the Brazilian National Policy for IntegralAttention to Children\u2019s Health (PNAISC) posed a set of comprehensive actions andstrategies across seven pillars to promote child development and mitigatevulnerabilities , establishing principles and guidelinesfor formulating public policies to fulfill the rights of children, increase theeffectiveness of integrated policies, define strategies for intersectoralcoordination, and define food and nutrition as priority areas.Finally, the Legal Framework for Early Childhood was published (https://cadernos.ensp.fiocruz.br/static//arquivo/supl-e00053122_5122.pdf). We organized into three themes a brief historical overview of strategies andprograms on children\u2019s food and nutrition implemented in the health sector inBrazil: (1) child malnutrition and micronutrient deficiencies; (2) breastfeedingand complementary feeding; and (3) childhood obesity. A detailed description ofthese strategies and programs is presented in Supplementary Material Child malnutrition. Substantial declines in the prevalence of childundernutrition in Brazil have been attributed to gains in family income,maternal schooling, and expanded coverage of public education, sanitation,and health care services Over time, these programs have incorporated new approaches and been replacedby more comprehensive actions. The II PRONAN, in the late 1970s, announced aset of activities with a broader approach to combat hunger and malnutrition.However, many of these actions never came to fruition. The \u201cMilk is HealthProgram\u201d (PLS), launched in 1993, is one example of a food supplementationprogram. The goal of PLS was to reduce the prevalence of malnutrition byproviding free milk supplementation for specific groups (including childrenunder five years of age) identified through the SISVAN In the late 1990s, the Program to Combat Nutritional Deficiencies (PCCN) wascreated to replace the PLS. The PCCN included actions beyond foodsupplementation, such as promoting breastfeeding, monitoring nutritionalstatus, and preventing and treating iron and vitamin A deficiencies. Theestimates of the target audience for PCCN were based on statistical modelsprepared by the Center for Nutrition and Health Research, University of S\u00e3oPaulo (NUPENS/USP), which significantly changed the transfer of federalresources to the fight malnutrition, reversing traditional practices ofequal treatment for unequal situations In the 2000s, food supplementation programs were replaced with cash transferprograms, which had more significant potential for addressing the socialdeterminants of malnutrition ,,,,,In 2003, the Food Schoolarship Program was replaced by the Brazilian IncomeTransfer Porgram, in which social vulnerability was prioritized, defining afamily poverty cutoff as the criterion for eligibility accompanied by healthand education conditionalities. The health conditionality included a minimumof health care visits for children of beneficiaries\u2019 families and monitoringthe nutritional status. Evidence of programs to prevent and controlmalnutrition shows that positive responses to child malnutrition are closelyrelated to confronting social determinants of health and equity-orientedpolicies, i.e., the redistribution of income and guarantee of universalaccess to health, education, and basic sanitation OrdinanceGM/MS n. 894/2021).Despite reducing the prevalence of malnutrition in Brazil, the problempersists in some population subgroups, demanding focused attention andsocial investments. In 2012, the Brazilian Ministry of Health instituted theAgenda to Intensify Nutritional Care for Child Malnutrition targetingBrazilian municipalities with the highest prevalence of malnutrition amongchildren under five based on data from SISVAN. However, this strategy wasonly implemented and financed from 2012 to 2015 (b) Micronutrients deficiencies. The actions to combat micronutrientdeficiencies in the health sector were initially included in programs tocombat malnutrition At the end of the 1970s, following the international movement led by the WHOand UNICEF to return to breastfeeding, the II PRONAN included a proposal tocreate a program to promote breastfeeding. However, this proposal was onlyput into effect in 1981, creating the PNIAM. The PNIAM gained internationalattention for its diversity of actions aimed at promoting , protecting , and supporting breastfeeding Federal Constitution and the formationof the SUS in 1988 impacted children\u2019s healthcare in Brazil, evolving fromvertical maternal-infant programs of the 1970s and 1980s to the perspectiveof comprehensive care, aimed at ensuring rights, overcoming vulnerabilities,reducing morbidity and mortality, and promoting health and quality of lifeFederal Constitution guaranteed to workingwomen, with a formal employment relationship, benefits including 120 days ofmaternity leave, the right to two half-hour breaks during the workday tobreastfeed the child up to six months of age, and the right to daycare inthe workplace. In 2008, Law n. 11,770 established theCorporate Citizen Program, aimed at extending maternity leave to six-monthby granting a tax incentive. In addition, the Supporting Working Women andBreastfeeding (MTA) was adopted in partnership with the Brazilian Society ofPediatrics. It consisted of three strategic axes: extension of maternityleave to 180 days, implementation of daycare in the workplace, and creationof lactation rooms in the workplace The enactment of the ,Another milestone for legal protection was created in 1988 with the BrazilianCode of Marketing of Food for Infants (NBCAL) In 1988, the Brazilian Ministry of Health also regulated the human milk banksas centers for collecting, processing, and storing human milk and provingskilled lactation support Law n. 13,435/2017 established August as the Monthof Breastfeeding - \u201cGolden August\u201d In the early 1990s, Brazil was one of the twelve countries to adopt the BFHI.To leverage its implementation, the Brazilian Ministry of Health intensifiedthe availability of four courses proposed by the WHO: an 18-hour course formaternity teams; an 80-hour course to train monitors; a 40-hourBreastfeeding Counseling Course; and Quick Course aimed at raising awarenessamong managers ,The 2000s marked important advances to protect, promote, and supportbreastfeeding. The Kangaroo method, is codified in the Standard forHumanized Attention of Low-Birth Weight Newborns Dietary Guidelines for BrazilianChildren Under Two Years of Age (published in 2002 and revisedin 2010). These \u201cdietary guidelines\u201d were revised again in 2019 to respondto recent changes in social transformations and dietary practices and alignits approach and recommendations with the dietary guidelines for theBrazilian adult population The promotion of healthy complementary feeding was intensified by developingand disseminating various educational materials targeting healthprofessionals. These include the Decree n.9,759 of April 11, 2019, and was reactivated underOrdinance GAB/SAPS n. 13, 2022 as a Technical AdvisoryCouncil.To strengthen the governance of breastfeeding actions in 2006, the BrazilianNational Breastfeeding Committee was created. In 2012, the composition ofthis national committee was revised to include a representation of amothers\u2019 group, civil society, international organizations, andrepresentatives of educational institutions The Brazilian Breastfeeding Network (RAB) was created in 2008 and theBrazilian National Strategy for Healthy Complementary Feeding (ENPACS) in2010, both based on the principles of critical-reflexive education and theSUS Continuing Health Education Policy, which aimed to review and supportinterdisciplinary work processes in primary health units to increase theprevalence of breastfeeding and healthy complementary feeding Bases for Discussion of the National Policy onBreastfeedingAn analysis of the implementation of actions to promote, protect, and supportbreastfeeding concluded that the process which led to the successful scalingup of breastfeeding promotion in Brazil included investments in thefollowing areas: (1) baseline needs assessment including data on infantfeeding practices; (2) advocacy ; (3) national and local mass media campaigns,social mobilization ; (4) implementation and spread of the BFHI;(5) lactation management and communications/counseling training (developmentof human resources); (6) legislation ; and (7) monitoring and evaluation (includingmonitoring of the WHO code) In 2011, the PNAN expanded the concept of healthy eating and comprehensivecare for diseases related to food and nutrition, such as childhood obesity.It defined a set of actions within the health sector and other sectors toensure environments that favor healthy eating and active lifestyles. In thesame year, the Federal Government launched the Strategic Action Plan toCombat Chronic Noncommunicable Diseases (2012-2022), recognizing obesity asa disease and a risk factor for noncommunicable diseases. In 2014, theInterministerial Committee on Food and Nutrition Security (CAISAN), anintersectoral committee to articulate the ministries for the food andnutrition security agenda, launched the document Intersectoral Strategy forthe Prevention and Control of Obesity. Two initiatives that stand out to combat childhood obesity specifically werethe Brazilian Healthy Growing Program (2017) obesity prevention andtreatment requires a whole-of-government approach in which policiesacross all sectors systematically take health into account, avoidharmful health impacts, and thus improve population health and healthequity\u201d Importantly, both Brazilian actions to fight against child obesity arealigned to the recommendations published by the WHO Commission on EndingChildhood Obesity in 2016, which states that \u201cBrazil\u2019s long trajectory builds a robust framework for infant and young children\u2019snutrition policies and initiatives; however, there are still challenges for theirimplementation. We selected breastfeeding protection, promotion, and supportinitiatives - the BFHI and the EAAB - to illustrate and reflect on common implementationchallenges. In these case studies, we used the RE-AIM framework to analyze the implementation andscaling up barriers and facilitators Innocenti Declaration and the World Health Assemblyresolutions of 1994 and 1996, and in 2002 included in the Global Strategy forInfant and Young Child Feeding ,,,,The BFHI was conceived in the early 1990s by the WHO and UNICEF, ratified by theThe Brazilian BFHI accreditation follows the global criteria to comply with the\u201cTen Steps\u201d and three additional criteria: (1) compliance with the NBCAL, (2)the mother-friendly care practices, and (3) assurance that the mother or father remains with the newborn 24-hours. In 2022, the BrazilianBFHI will complete 30 years of implementation. However, despite considerableefforts made by the Brazilian Ministry of Health as well as State and MunicipalHealth Departments to mobilize managers and professionals from maternityhospitals to adopt the Ten Steps, its implementation at scale is still facingseveral challenges. ,,Law n. 11,265/2006 and do notdistribute breast milk \u201csubstitutes\u201d in the primary health clinics; (5)participation of at least 85% of the primary care professionals in thecontinuing education workshop; (6) comply with at least one activity toencourage breastfeeding, and one for healthy complementary feeding agreed in theaction plan The EAAB is the latest initiative of the Brazilian Ministry of Health focused oninfant feeding. Rooted in the critical-reflexive concept, the EAAB aims tostrengthen actions to promote, protect, and support breastfeeding and healthycomplementary feeding for children under two years of age, improving the skillsand abilities of health professionals within the scope of primary care Our implementation analysis identified essential elements across RE-AIM dimensionsthat could improve the implementation and sustainability of both programs andpractices. Documenting and paying attention to the RE-AIM elements have been provedto increase the likelihood of improving successful implementation and, ultimately,the health of the entire population ,,,Implementation science in nutrition is a body of systematized knowledge about how toimprove the implementation of nutrition-specific and sensitive interventions ,,In the last 30 years, Brazil has achieved nearly universal access to primary healthcare for the population, thanks to the expansion of the coverage of the FamilyHealth Strategy, which reaches 60% of the population However, fiscal policies implemented in 2016 ushered in austerity measures that,alongside the current Brazilian government\u2019s new environmental, educational, andhealth policy, could reverse the hard-earned achievements of the SUS, impacting theimplementation of infant feeding and nutrition policies ,,,,Although improving infant and young children\u2019s nutrition requires information aboutbiology and epidemiology, the increasing complexity and multisectorality ofnutrition initiatives highlight sociopolitical factors that determine which actionsare appropriate and acceptable The exercise of applying the RE-AIM, one of the most widespread frameworks inimplementation research, in the analysis of two brief case studies on breastfeedingpolicies in Brazil, allowed us to identify implementation barriers in differentdimensions. We found common barriers related to (1) unclear goals regarding thereach of programs; (2) challenges in assessing effectiveness and fidelity/qualityduring the real-world implementation; (3) discontinuation or lack of funding andlack of monitoring and evaluation, impacting the sustainability of programs.Therefore, implementation research can provide pragmatic programmatic lessons andguidance on how to scale up nutrition interventions by better understandingdifferent contexts, identifying barriers and facilitators, and allocating resourcesand funds for maximum impact ,Hence, high-quality implementation research within large-scale nutrition programsmust become a priority to catalyze progress. Implementation research for nutritionis not new but has not been prioritized"}
+{"text": "BMC Medicine and BMC Neurology is to synthesize current concepts and most recent findings concerning the evaluation, etiology, pathophysiology and clinical relevance of the potential involvement of the extracranial venous system in the pathology of multiple CNS disorders and in aging.The extracranial venous system is complex and variable between individuals. Until recently, these variations were acknowledged as developmental variants and were not considered pathological findings. However, in the last decade, the presence and severity of uni- or bi-lateral jugular venous reflux (JVR) was linked to several central nervous system (CNS) disorders such as transient global amnesia, transient monocular blindness, cough headache, primary exertional headache and, most recently, to Alzheimer's disease. The most recent introduction of a composite criteria-based vascular condition named chronic cerebrospinal venous insufficiency (CCSVI), which was originally linked to multiple sclerosis, increased the interest in better understanding the role of the extracranial venous system in the pathophysiology of CNS disorders. The ultimate cause-consequence relationship between these conditions and CNS disorders has not been firmly established and further research is needed. The purpose of this article collection in http://www.biomedcentral.com/1741-7015/11/260.Please see related debate: The potential involvement of the extracranial venous system in the pathology of central nervous system (CNS) disorders and in aging is largely debated at this time ,2. This The extracranial venous system is complex with variability between individuals and is frequently asymmetric . Until ret al. examined 109 MS patients and found no evidence of an association between the presence and severity of CCSVI with cognitive impairment and depression in patients with MS [et al. evaluated 61 MS patients and found no association between CCSVI and cognitive impairment, fatigue, depression, bladder/sexual symptoms and self-reported quality of life [The debate article by Zivadinov and Chung provides with MS , while L of life . These f of life ,20.The limited understanding of the pathophysiology of the extracranial venous system may consequently underestimate the impact of cerebral venous drainage abnormalities in a variety of CNS disorders . Becauseet al.[One of the most convincing indicators towards a \u201cvascular origin\u201d for MS comes from neuropathological observations showing that MS plaques are exclusively perivenular and dimensions of the veins determine the shape, course and dimension of the lesions . This iset al. presentset al.[per se is not sufficient to increase the hydraulic resistance of the cerebral vascular bed but that other mechanisms must be at work, including the potential role of various precipitating risk factors.The pathophysiology of extracranial venous abnormalities may be further elucidated by exploring the role of precipitating risk factors ,5,25,26.et al. tested tet al. provide a comprehensive review of non-invasive and invasive imaging methods for the detection of extracranial venous abnormalities, including CCSVI [et al. evaluated the non-invasive and invasive multimodal imaging correlates of 20 MS patients with relapsing MS who were enrolled in the Prospective Randomized Endovascular therapy in Multiple Sclerosis\u201d (PREMiSe) study [At this time, there is no established diagnostic imaging modality, non-invasive or invasive, that can serve as the \u201cgold standard\u201d for the detection of any extracranial venous abnormalities . Howeverng CCSVI . They dee) study . They coet al. present a novel model in a clinical setting that suggests the pivotal role of the collateral network in draining the blood into the superior vena cava under CCSVI conditions [When there is narrowing of the principal pathways of the extracranial venous system, collateral veins usually form as physiological secondary compensation for the compromised venous system outflow ,4. The pnditions . One of et al. showed in 23 transient monocular blindness (TMB) patients who had no carotid stenosis and in 23 age- and sex-matched healthy controls that there was a greater severity of IJV compression/stenosis in TMB patients [While a link between the presence and severity of extracranial venous abnormalities and several CNS disorders as well as aging is emerging, it is to be determined whether those may play a potential role, as precipitating factors, to increased susceptibility for a number of CNS disorders. Although the presence and severity of JVR and CCSVI have been linked to a number of CNS disorders, the ultimate cause-consequence relationship has not been firmly established. In an original article, Cheng patients . Therefo\u2018Venous Involvement in Neurological Disorders and Aging\u2019 article collection in BMC Medicine and BMC Neurology has attempted to present a fair and balanced discussion of the examined topics. It is hoped that the contents of this collection will encourage the readers to continue their research on this subject.The CBF: Cerebral blood flow; CCSVI: Chronic cerebrospinal venous insufficiency; CNS: Central nervous system; CSF: Cerebrospinal fluid; ET-1: Endothelin-1; IJV: Internal jugular vein; JVR: Jugular venous reflux; MS: Multiple sclerosis; NPH: Normal-pressure hydrocephalus; PREMiSe: Prospective Randomized Endovascular therapy in Multiple Sclerosis; TMB: Transient monocular blindness.Robert Zivadinov received personal compensation from Teva Neuroscience, Biogen Idec, EMD Serono, Bayer, Genzyme-Sanofi, Novartis, Claret and General Electric for speaking and consultant fees. He received financial support for research activities from Biogen Idec, Teva Neuroscience, Genzyme-Sanofi, Novartis and EMD Serono.Robert Zivadinov, M.D., Ph.D., is a professor of neurology with tenure at the Department of Neurology, School of Medicine and Biomedical Sciences, University of Buffalo, State University of New York (SUNY) and clinical professor of neurology at the Florida International University College of Medicine. He is director of the Buffalo Neuroimaging Analysis Center and of the MR Imaging Clinical Translational Research Center at the University of Buffalo.He has performed extensive research in multiple sclerosis and imaging, having published more than 250 articles and 400 abstracts in leading peer-reviewed journals. He is currently pursuing research studies on quantitative magnetic resonance, ultrasound, angiography and optic coherence tomography imaging findings in multiple sclerosis, Parkinson\u2019s and Alzheimer's disease and aging. His current interests also concentrate on therapeutic interventions, including strategies towards assessing neuroprotective efforts in neurodegenerative disorders, as well as venous function, genetic and neuroepidemiology fields of these diseases.BMC Medicine and BMC Neurology with the aim of synthesizing most recent concepts concerning the evaluation, etiology, pathophysiology and clinical relevance of the potential involvement of the extracranial venous system in the pathology of multiple CNS disorders and in aging. Dr. Zivadinov is one of the leading authorities in the field on this topic, having published more than 30 original and review articles in peer-reviewed journals.Dr. Zivadinov guest-edited this article collection in All articles in this article collection have been independently prepared by the authors and have been subject to the standard peer-review processes of the journals."}
+{"text": "Despite the need for a reduction in levels of childhood exposure to environmental tobacco smoke (ETS) being a recognised public health goal, the delivery of ETS preventive care in child health service settings remains a largely unstudied area. The purpose of this study was to determine the prevalence of ETS preventive care in child health services; differences in the provision of care by type of service; the prevalence of strategies to support such care; and the association between care support strategies and care provision.One-hundred and fifty-one (83%) child health service managers within New South Wales, Australia completed a questionnaire in 2002 regarding the: assessment of parental smoking and child ETS exposure; the provision of parental smoking cessation and ETS-exposure reduction advice; and strategies used to support the provision of such care. Child health services were categorised based on their size and case-mix, and a chi-square analysis was performed to compare the prevalence of ETS risk assessment and ETS prevention advice between service types. Logistic regression analysis was used to examine associations between the existence of care support strategies and the provision of ETS risk assessment and ETS exposure prevention advice.A significant proportion of services reported that they did not assess parental smoking status (26%), and reported that they did not assess the ETS exposure (78%) of any child. Forty four percent of services reported that they did not provide smoking cessation advice and 20% reported they did not provide ETS exposure prevention advice. Community based child and family health services reported a greater prevalence of ETS preventive care compared to other hospital based units. Less than half of the services reported having strategies to support the provision of ETS preventive care. The existence of such support strategies was associated with greater odds of care provision.The existence of major gaps in recommended ETS preventive care provision suggests a need for additional initiatives to increase such care delivery. The low prevalence of strategies that support such care delivery suggests a potential avenue to achieve this outcome. Children are particularly vulnerable to the harmful effects of environmental tobacco smoke (ETS) because of their relatively underdeveloped immune and pulmonary systems, their small body size, and their higher rates of ventilation ,2. ExposGiven that child exposure to ETS is most commonly associated with smoking by parents and other household member -8, interHealth facilities present an ideal opportunity to deliver ETS-prevention advice to parents . First, Limited international evidence provides an insight into the level of ETS prevention care routinely provided in child health care settings. Such evidence is primarily United States based and addresses care provided by physicians only ,21-23. ITo date, research describing the provision of ETS-prevention care by heath care professionals, and the prevalence of strategies to support such care is limited. Given this, a study was undertaken to determine the: prevalence of ETS preventive care in child health services; the differences in care provision by type of child health services; the prevalence of strategies to support such care; and the association between care support strategies and care provision.A cross-sectional survey of public child health care services in New South Wales, Australia was undertaken in 2002. Eligible services were firstly, those units within hospitals that primarily cared for children aged 0-15 years of age, including all paediatric, postnatal and neo-natal units, and secondly, all community-based child and family health services. The eligible respondent for each health service was the Senior Nurse Manager within hospital settings, or the Senior Manager of child and family health services.A self-report questionnaire was developed based on recommendations included in the United States' Clinical Guidelines for Treating Tobacco Use and Dependence , and on Pen and paper questionnaires were forwarded by the Chief Health Officer of New South Wales to all Health Services within the state. The Chief Executive of each service was asked to distribute the questionnaire to specified respondents within their organisation. Respondents were asked to complete the survey based on their knowledge of practices within their unit.Health Services that did not return the surveys within three weeks received a telephone reminder prompt by the Chief Health Officer's staff. Ethics approval for human research was obtained from the University of Newcastle's Human Research Ethics Committee.In the questionnaire respondents were asked to indicate if their unit assessed two forms of ETS risk: parental smoking status, and the ETS exposure of children . Those respondents, who indicated assessment was undertaken were asked to estimate the proportion of parents for whom each of form of assessment was routinely undertaken .Respondents were asked whether their unit provided two forms of ETS exposure prevention advice to parents of children at risk: quit smoking advice and ETS reduction advice ('yes' 'no' or 'unsure'). Those respondents who indicated that advice was provided were asked to estimate the proportion of parents for whom such advice would be routinely provided . Such respondents were also asked to indicate the type of advice offered ('yes' or 'no').Respondents were asked if the provision ETS preventive care was supported by: documentation in the form of written policies; staff training; or organisational prompts such as computer based prompts and medical record stickers .Respondents were asked to indicate the type of child health service that they were reporting on.Hospitals were categorised into one of two groups based upon their size and case-mix. Group 1 hospitals included principal referral and major metropolitan and non-metropolitan hospitals treating between 10,000 and 25,000 patients per year. Group 2 hospitals included district and community hospitals treating between 2,000 and 10,000 patients per year. As a consequence, all units were clasified as either a Group 1 or Group 2 hospital, or a child and family health service.Responses regarding the estimated proportion of parents that routinely received either form of ETS risk assessment, and the proportion of parents that routinely received either form of ETS exposure prevention advice were collapsed into four categories: 'none' (0%), 'less than 75%' (1-75%), 'almost all' (76-99%) and 'all patients' (100%). Based on these categories, the overall prevalence of both ETS risk assessment and ETS exposure prevention advice were examined. Differences in the prevalence of each form of care between the types of services were examined by chi-square analysis.The prevalence of each type of care support strategy is reported as a proportion. Differences in the prevalence of such strategies between the types of services were examined by chi-square analysis.p < 0.05). Evidence of confounding and possible interactions were investigated.Chi-square and logistic regression analyses were used to examine associations between the existence of care support strategies (independent variable) and each of the four forms of care (dependent variables). For these analyses, responses regarding the proportion of patients receiving each form of care were collapsed into two groups, 0-75% of patients (some) and 76-100% of patients (most) . ResponsAll analysis was undertaken using the statistical software package SAS 9.1.2 . A finitCompleted questionnaires were received from 153 of the 183 eligible units (83%). Response rates did not differ significantly between health service settings, or between hospital peer groups (range 81% to 84%). Seventy-two percent (n = 111) of respondents were from hospital units and 28% (n = 42) were from community-based child and family health services. Sixty one percent (n = 67) of hospital respondents were from Peer Group 1.p < 0.001).Twenty-six percent of all respondents indicated that their service did not assess the smoking status of any parents (see Table p < 0.001).Seventy-eight percent of all respondents, and 86%-87% of hospital units reported that their service did not assess the ETS exposure for any child. Fourteen percent indicated that their facility routinely assessed the ETS exposure for most children. A greater proportion of respondents from child and family health units reported assessing the ETS exposure of most children. Thirty-six percent of community-based child and family health respondents reported that they assessed the smoking status of most parents (>75%) compared to 4% of Peer Group 1 and 7% of Peer Group 2 respondents (p = 0.003).Nearly half of all respondents (44%) indicated that their service did not provide smoking cessation advice to any parents (see Table Of those units that reported providing smoking cessation advice to parents (56%), 86% provided brief verbal advice, 75% provided written materials, 30% offered referrals, 22% provided extended verbal advice, 19% provided advice regarding NRT, and 13% provided NRT. Eighty percent of such units reported providing more than one type of quit smoking advice to parents.p = 0.036).Twenty percent of respondents indicated that their service did not provide ETS-reduction advice to any parents of children at risk, whilst approximately one half (46%) reported that such advice was provided to most parents. A greater proportion of respondents from community-based child and family health services reported providing ETS-reduction advice to most parents. Sixty-three percent of child and family health respondents reported that they provided ETS-reduction advice to most parents of children at risk compared to 47% of Peer Group 1 and 25% of Peer Group 2 respondents (Of those units that reported providing ETS reduction advice to parents (80%), 88% provided brief verbal advice, 65% provided written materials, 27% provided extended verbal advice, and 19% offered referrals. Seventy six percent of such units reported providing more than one type of ETS reduction advice to parents.p = 0.356 and p = 0.839 respectively) or the existence of prompts for the provision of ETS-prevention care (p = 0.781). Community-based child and family health unit respondents (68%) reported a higher prevalence of staff training in the provision of ETS-prevention care compared to Peer Group 1 (41%) and Peer Group 2 respondents (36%) (p = 0.007).As shown in Table Independent of type of service, respondents who reported the existence of an ETS prevention policy had approximately twice the odds of assessing parental smoking status . Respondents who reported the existence of training regarding ETS prevention care had twice the odds of assessing parental smoking status and over four times the odds of assessing child ETS exposure .Independent of type of service, respondents reporting the existence of a quit smoking policy had nearly three times the odds of providing parental smoking cessation advice (see Table The existence of an ETS prevention care policy significantly increased the odds of providing ETS exposure advice (OR 3.0 CI 1.3-6.6). No other associations were evident between service support strategies and the provision of such advice.This study is the first that reports the prevalence of ETS preventive care routinely delivered by Australian public child health services. We found that a large proportion of such services failed to routinely assess ETS risks or provide ETS exposure prevention advice to parents of attending children. The results also suggest the limited existence of clinical practice strategies to support the provision of such care. The results indicate a considerable need and potential for additional clinical practice initiatives to realise the benefits of ETS prevention care for children.The results of this study, despite methodological differences, are consistent with those of research in other countries that suggest that approximately half of child health services fail to assess the smoking status of the majority of parents ,21,23,25The results of the current study suggest that most services fail to routinely provide smoking cessation and ETS reduction advice to parents, which is consistent with previous research ,21,23,25The results of this study extend previous research by examining and demonstrating differences in the prevalence of ETS prevention care between types of services and clinicians ,23. The Evidence suggests that intervention strategies that are most effective in increasing ETS prevention care are system level strategies such as policies , remindeThe findings of this study support such previous research, by suggesting that where clinical practice is supported by a written policy, training and care prompts, clinicians are more likely to assess children's ETS risk and provide ETS prevention care. Despite this positive finding, it is evident that the majority of child health services do not incorporate support strategies within their organisations. Training regarding ETS prevention care was the most often reported support mechanism (47%) followed by ETS care prompts (20%), the existence of a policy outlining the provision of smoking cessation care (22%), and policy outlining ETS reduction care (12%). Such outcomes are similar to those reported in the adult inpatient setting .The observed low levels of organisational support can be argued to have contributed to the finding that the majority of children attending child health services are not being assessed for ETS risk, or provided ETS prevention care. As these findings occur in the context of international and national guidelines that mandate the provision of ETS prevention interventions ,38, the The findings of this study should be considered in the context of a number of its methodological characteristics. First, the study relied on the use of an indirect estimate of care prevalence by utilising self-report data of senior unit managers. Results obtained from self-report studies can be confounded as respondents commonly over-report the routine provision of assessment and advice . If thisThere is a clear need to further enhance the provision of ETS prevention care in child health services. Considering the documented efficacy of care support strategies such as reminders, education and policy, the further dissemination of ETS preventive care guidelines should incorporate such strategies.The authors declare that they have no competing interests.TH contributed to: conception and design of the study, acquisition of data, analysis and interpretation of the data, drafting of the manuscript, provided statistical expertise, read and approved the final manuscript.JD contributed to: conception and design of the study, acquisition of data, analysis and interpretation of the data, drafting of the manuscript, provided supervision, read and approved the final manuscript.JB contributed to: conception and design of the study, analysis and interpretation of the data, drafting of the manuscript, revision of the manuscript for important intellectual content and provided supervision, read and approved the final manuscript.MF contributed to: conception and design of the study, analysis and interpretation of the data, drafting of the manuscript, revision of the manuscript for important intellectual content and provided supervision, read and approved the final manuscript.JW contributed to: conception and design of the study, acquisition of data, analysis and interpretation of the data, drafting of the manuscript, revision of the manuscript for important intellectual content, involved in obtaining funding, providing supervision, read and approved the final manuscript.This study was undertaken with the support of Hunter New England Population Health and infrastructure support from the Hunter Medical Research Institute.The sources of funding for the study, for each author, are as follows:TH: Hunter New England Population Health, New South Wales (NSW) Department of Health, Australia; Faculty of Psychology, The University of Newcastle, NSW, Australia; Hunter Medical Research Institute, NSW Australia.JD: Hunter New England Population Health, New South Wales (NSW) Department of Health, Australia; Faculty of Health, The University of Newcastle, NSW, Australia; Hunter Medical Research Institute, NSW Australia.JB: Faculty of Health, The University of Newcastle, NSW, Australia; Hunter Medical Research Institute, NSW Australia.MF: Hunter New England Population Health, New South Wales (NSW) Department of Health, Australia; the Faculty of Health, The University of Newcastle, NSW, Australia; Newcastle Institute of Public Health, NSW Australia; Hunter Medical Research Institute, NSW Australia.JW: Hunter New England Population Health, New South Wales (NSW) Department of Health, Australia; Faculty of Health, The University of Newcastle, NSW, Australia; Newcastle Institute of Public Health, NSW Australia; Hunter Medical Research Institute, NSW Australia.The pre-publication history for this paper can be accessed here:http://www.biomedcentral.com/1471-2458/11/324/prepub"}
+{"text": "Workshop on Carbohydrate Moieties as Vaccine CandidatesBethesda, MD, USAOctober 6-7, 2004Haemophilus influenzae b and pneumococcal conjugate vaccines. However, our understanding of several aspects of polysaccharide vaccines is limited, and more knowledge is needed to allow greater development and deployment. The goals of this workshop were to examine the mechanisms involved in generating an appropriate immune response to selected carbohydrate antigens, highlight recent and novel advances, and discuss how this information could be used in the development of effective vaccines. The workshop participants included national and international research scientists and clinicians from the National Institutes of Health, the Food and Drug Administration, academia, and industry.Whole microbes, microbial subunits and extracts, and peptide and protein antigens have been the focus of much vaccine research and development. While studies of peptide and protein antigens have been facilitated by the rapid advances in genomics and proteomics, studies of sugar chains, which are abundantly expressed on the outer surfaces of viral, bacterial, protozoan, and fungal pathogens and on the membranes of mammalian cells, have not kept pace with technologic advances. Polysaccharide-based vaccines have demonstrated efficacy in disease-prevention strategies, e.g., Francisella tularensis, a potential weapon of bioterrorism) to T cells. The evidence that CD1-restricted T cells contribute to immunity against microbial infection includes the observation that CD1 is expressed at higher levels in lesions of tuberculoid leprosy in comparison to lepromatous leprosy. The design of optimal vaccines against such pathogens should include lipid and peptide antigens.The meeting was organized into 7 sessions on such topics as genetic and cellular mechanisms of carbohydrate immunity, carbohydrate antigens for vaccines, and new tools for studying carbohydrates. Understanding the mechanistic aspects of the genetic control and the cellular pathways of the immune response to bacterial carbohydrate antigens should provide insights into ways to enhance the immune response and thus facilitate vaccine development. Studies were also presented on novel molecules involved in the recognition of carbohydrate antigens such as specific intercellular adhesion molecule (ICAM)\u2013grabbing nonintegrins, which are C-type lectins that show substantial expression in many tissues, and toll-like receptors, which function as pattern recognition receptors for conserved pathogen structures and serve as key links between innate and adaptive immunity. Investigations are ongoing to determine how these molecules function in bacterial clearance and in signaling innate and adaptive responses. A number of presentations were focused on the role of CD1 proteins, which present lipid antigens has been established at the Scripps Research Institute and has developed a novel glycan array format that uses covalent coupling of glycans to glass slides.New technologies such as carbohydrate microarrays, automated syntheses of oligosaccharides, and biophysical and computational methods for studying antigen-antibody interactions are now available for providing insight into the structure of and immune response to carbohydrate antigens. Additionally, peptide mimotopes may be used in carbohydrate technologies designed for proteins. An oligosaccharide synthesizer is now being used in the development of a number of vaccines, including those for malaria, leishmaniasis, HIV, tuberculosis, and leprosy. A Consortium for Functional Genomics elucidating the mechanisms of immunity to and regulation of carbohydrate antigens in adults, children, and neonates and using opportunities for modeling carbohydrate antigen-antibody interactions; 2) defining the molecular basis of enhanced immunogenicity with glycoconjugate vaccines and investigating the role of adjuvants; 3) examining the role of CD1-reactive T cells in the immune response to capsular polysaccharides; and 4) developing surrogates for in vivo immunity for the use of glycolipids as CD1-based vaccines in humans. Resource needs include the following: 1) enhanced availability of carbohydrate microarrays; 2) development of appropriate animal models and the availability of a transgenic mouse platform that allows generation of human antibodies; 3) development of tetramers and analytical chemistry to help in the identification of antigens, e.g., for the use of glycolipids as CD-1-based vaccines; and 4) enhanced good laboratory practice (GLP) resources to produce synthetic carbohydrate vaccines and GLP testing for vaccine candidate safety in animals and for production of good manufacturing practice vaccine candidates. As a result of the workshop, an open LISTSERV (GLYCOIMMUNOLOGY) has been established, and the Journal of Clinical Infectious Diseases will publish a review article. For additional information, contact ctaylor@niaid.nih.govThe workshop was sponsored by funds from the National Vaccine Program Office and the National Institute of Allergy and Infectious Diseases."}
+{"text": "Normal placental structure and function is essential for a healthy pregnancy; the placenta is responsible for nutrient and oxygen transport, removal of waste products, protection from infection, modulation of the maternal immune system and hormone production to maintain pregnancy. The human placenta is structurally adapted to fulfil this role as it is haemomonochorial, minimising the distance between maternal and fetal circulations to maximise exchange. Disorders of the placenta including: FGR, pre-eclampsia, placental abruption and abnormal (velamentous) cord insertion are associated with over 50% of stillbirths and are frequently cited as the primary cause of death -3.Abnormal placental structure and function significantly increases the risk of stillbirth. Levels of pregnancy associated plasma protein A (PAPP-A) in the lowest 5% and alpha fetoprotein (AFP) in the highest 5% increase the risk of stillbirth by 50-fold and 2.8-fold respectively ,5. In woDue to its central role in determining pregnancy outcome, detailed examination of the placenta can give useful information about the cause of stillbirth and is recommended by the Royal College of Obstetricians and Gynaecologists (RCOG), American College of Obstetricians and Gynecologists (ACOG) and Perinatal Society of Australia and New Zealand (PSANZ) ,13. ExamDespite the value of placental examination to identify conditions associated with stillbirth including: fetal thrombotic vasculopathy, chronic intervillositis, villitis, chorioamnionitis, funisitis, infarction, massive perivillous fibrin deposition, villous dysmaturity , villous immaturity and cord lesions further research is needed to increase the understanding of placental pathology in stillbirth. This is reflected in the research priorities for high-income countries synthesised by an international panel of experts which mention need for repositories of well-phenotyped samples from stillbirths and from well-matched controls and the need to understand the pathophysiological pathways in common conditions associated with stillbirth including: diabetes, cigarette smoking and maternal obesity .An important goal of translational medicine is to use the increased understanding of placental dysfunction to develop improved tests of pregnancy wellbeing. For example, factors derived from the placenta, such as human placental lactogen or placental growth factor may provide novel means to identify pregnancies at highest risk of stillbirth . Discove"}
+{"text": "Jundishapur University of Medical Sciences (AJUMS) officiated as host to the second nanodrugs congress on March 2012, which was held by nanotechnology research center of AJUMS in cooperation with Shahid Chamran University of Ahvaz, Iran. This scientific event was scheduled to be held in a bid to create an appropriate environment for idea exchange among the specialists and researchers active in the field of drug delivery. The objectives of the organization of this congress was introducing the latest achievements in the field of nanodrugs, considering targeted drug delivery aim for the treatment of incurable diseases, improving the life quality and social health, and converting science and technology into wealth.One of the major scopes of the congress was the application of nanotechnology in the field of natural pharmaceutical products. Recently there have been considerable researches on developing biocompatible and biodegradable nanocarriers/nanodevices as novel drug delivery systems. Natural polymers or biopolymers are generally biocompatible, biodegradable, non-toxic and non-immunogenic. They occur widely in nature and are classified into 2 groups; polysaccharides and proteins . ChitosaLipids also are a broad group of naturally occurring molecules that include fats, waxes, sterols, phospholipids, fat-soluble vitamins, mono-, di-, and tri-glycerides which are advantageous to formulation of a wide range of lipid-based nanocarriers; such as solid lipid nanoparticles (SLN), nanostructured lipid carriers (NLC), and lipid drug conjugates (LDC) to minimize the drawbacks associated with polymeric nanoparticles specially low drug loading for hydrophobic drugs .Moreover some research are being focused on development of novel drug delivery systems for herbal extracts or plant actives, such as polymeric nanoparticles, nanocapsules, liposomes, phytosomes, nanoemulsions, microsphere, transferosomes, and ethosomes, to protect active herbal ingredients from physical and chemical degradation, enhance safety and pharmacological activity, and overcome solubility and bioavailability problems associated with plant medicine . Finally"}
+{"text": "The aim of the study was to evaluate the prognostic value of Killip classification in terms of health-related quality of life (HRQoL).The sample consisted of 112 patients treated for myocardial infarction (MI), as onset manifestation of coronary artery disease (CAD), during 2008/09 in a prefectural hospital in northern Greece. At 1-year follow-up visit, HRQoL was measured using a generic and a disease-specific instrument. The 15D consists of a visual analogue scale (VAS) and a total score. The scoring algorithm of the MacNew generates a global score, and three separate domains scores: emotional, physical and social.Patients were grouped into the four Killip classes according to the degree of pulmonary congestion at admission Table . Mean HRPatients with MI as an onset manifestation of CAD present with varied degrees of pulmonary congestion. The prognostic value of the Killip classification is highlighted in terms of the extent of CAD (number of affected vessels and revascularization technique), of NYHA class and, last but not least, of HRQoL."}
+{"text": "Long standing Hashimoto Thyroiditis (HT) causes shrinking and atrophy of the thyroid, but may also lead to diffuse enlargement of the gland and/or formation of nodules. These nodules should be differentiated from papillary thyroid carcinoma (PTC) and primary thyroidal non-Hodgkin lymphoma (PTL), which are possible complications of HT, and require pre-surgical diagnoses and different treatments.This study focuses on the role of fine-needle cytology (FNC) in the clinical surveillance and pre-surgical diagnosis of HT with diffuse and nodular enlargement of the gland in elderly patients.Thirty-four elderly patients (\u2265 65 yrs) with HT and diffuse or nodular enlargement of the thyroid underwent ultrasound (US)-guided FNC. Smears were routinely stained and evaluated; additional passes were used for flow cytometry (FC) assessment of lymphoid infiltrate in 6 cases.The cytological diagnosis was HT in 12 cases with prevalence of Hurtle cells in 2 cases, PTC in 1 case and PTL in 2 cases. FC assessed the reactive, non-lymphomatous nature of the lymphoid infiltrate in 5 cases and demonstrated light chain restriction, hence the lymphomatous nature of the lymphoid infiltrate in 2 cases of PTL.FNC plays a key role in the clinical surveillance and pre-surgical diagnosis of diffuse enlargement and nodular presentation of HT in elderly patients. FNC can correctly diagnose HT, PTC and PTL indicating the need for surgery and its extension in suspicious or neoplastic cases, leaving other cases to the medical treatment and clinical surveillance. Hashimoto Thyroiditis (HT) is the most common autoimmune disease; the typical clinical presentation is a painless diffuse enlargement of the thyroid, with high serum thyroid autoantibodies ,2. HT isBetween January 2010 and December 2012, 1.256 patients with thyroidal nodules or diffuse swelling underwent FNC in the outpatient clinics of the Azienda Ospedaliera Universitaria, University of Salerno. Before FNC, patients were informed of the diagnostic procedure and related risks; informed consent was obtained from all patients for the performance of FNC, diagnostic procedures and the scientific use of biological material. Sixty patients were diagnosed with HT or suspected HT because of the clinical, serologic, and/or ultrasound (US) presentation. Clinical signs and symptoms included swollen thyroid gland, with or without discrete nodules and, rarely, mild fever. US examination generally showed poorly defined hypoechoic areas, thin fibrous strands with diffuse hypervascular pattern or diffuse glandular enlargement with scattered nodules. Clinical, serological and US data were available for all patients and FNC produced a sufficient amount of cells to prepare adequate cytological smears and perform ancillary techniques, when needed. Whereas the definition of elderly is related to the pathophysiology of aging -33, the The diagnostic procedure and related risks were first discussed with the patients, who were also informed that 1 or 2 supplementary passes might have been needed, and their informed consent was obtained. FNC was performed under US control, as previously described ,36, and The cytological diagnosis was typical HT in 10 cases, HT with prevalence of Hurthle cells in 2 cases, PTC in 1 case and PTL in 1 case. Typical HT showed different cytological patterns due to the prevalence of lymphoid cells or follicular and Hurthle cells. Those with prevalence of lymphoid cells were characterized by small lymphocytes, either isolated or intermingled with histiocytes, occasional plasma cells, and stretched lymphocytes. This pattern was referred as ''lymphocytic'' (6 cases) (Figure HT clinical presentation reflects the pathological modifications of the gland over time. After an initial diffuse swelling, the gland undergoes progressive loss of thyroid follicular cells and replacement by lymphocytes, with the formation of germinal centres and fibrosis. Apoptosis is considered to be the main pathogenetic mechanism of follicular cell destruction; a predominantly Th1-mediated immune activity may promote apoptosis of thyroid follicular cells, leading to thyroid cell destruction and HT , althougFNC has a definite role in the clinical surveillance and pre-surgical diagnosis of thyroidal diffuse enlargement and nodular presentation of HT; it can be conveniently used in elderly patients. FNC can also indicate the need for surgery and its extension in selected cases, as well as the need for medical treatments and clinical surveillance in others.The authors declare that they have no competing interests.PZ, MV: conception and design, interpretation of data, AC, EV, VDS, MV, AG, VDC, MPC: acquisition of data, drafting the manuscript, PZ, MV: critical revision, given final approval of the version to be published.AC = Assistant of Pathology at University of SalernoEV = Assistant of Pathology at University of Naples \"Federico II\"MV = Associate Professor of Endocrinology at University of SalernoVDC = Aggregate Professor of Thoracic Surgery at University of SalernoMC = Aggregate Professor of Anatomy, University of Naples \"Federico II\"CC = Aggregate Professor of Oncology, University of Naples \"Federico II\"AG = Aggregate Professor of Pediatric Surgery at University of SalernoPZ = Associate Professor of Pathology at University of Salerno"}
+{"text": "Recent advancement in genomic and genetic sequencing technology has ushered in a new era in which unprecedented amount of genomic sequence and transcript sequence data with extraordinary detail can be generated at incredibly short time. As part of this advancement, the approaches that utilize the powerful next generation sequencing technology, such as RNA-Seq, may have dramatically changed the field of non-coding RNA (ncRNA) research. Since these new approaches do not require prior knowledge of annotated transcripts for probes, theoretically the entire transcriptome of a given sample can be sequenced. This enables the detection of novel transcripts, including both protein coding and ncRNA, as well as RNA with somatic mutations and alternative splicing forms bases in the human genome are transcribed into genes that code for proteins , which is believed to be the transcripts of 1\u20133% of the human genome. miRNA is highly involved in brain development and plasticity at the neuronal level (Kapsimali et al., de novo gene mutations also provides valuable and necessary tools for the addiction research field.A much less tapped area in ncRNA research for the understanding of addiction of cocaine, or other substances of abuse, is the lncRNA; Wapinski and Chang, The complexity and abundance of ncRNA, especially lncRNA, mandate advanced non-traditional, large scale and high throughput transcript sequencing, and analysis. While microarray technology enjoys established base and proven utility, the next generation sequencing technology represented by RNA-Seq emerges as the future choice approach for the task because of its unbiased coverage of the entire transcriptome of the genome. In addition, RNA-Seq allows versatile experimental design for sequencing depth and adjustable detection sensitivity, using machines of different throughputs and multiplexing different numbers of samples on a sequencing lane. Furthermore, the inherited benefit of RNA-Seq (Mane et al.,"}
+{"text": "The ninth author's name was spelled incorrectly. The correct name is: Leonidas Stamatatos.Additionally, the correct spelling of the name of the individual who provided SIL, mentioned in the SIL section of Methods, is Ralf Torsten-Pohl."}
+{"text": "We report the development of an international registry for Neurodegeneration with Brain Iron Accumulation (NBIA), in the context of TIRCON (Treat Iron-Related Childhood-Onset Neurodegeneration), an EU-FP7 \u2013 funded project. This registry aims to combine scattered resources, integrate clinical and scientific knowledge, and generate a rich source for future research studies. This paper describes the content, architecture and future utility of the registry with the intent to capture as many NBIA patients as possible and to offer comprehensive information to the international scientific community. Rare mendelian disorders are being characterized with increasing success owing to the rapid development of tools for defining phenotypic and genetic determinants. The elucidation of disease pathogenesis may simultaneously trigger the identification of pathway-specific treatment targets, but the development of disease-modifying medications is often hampered by the fragmentation of efforts and the low number of available patients. The integration of scattered resources is, therefore, crucial for the success of future scientific accomplishments. Here we report the inception of a central data repository for a group of rare disorders collectively called Neurodegeneration with Brain Iron Accumulation (NBIA).6 and consists of several genetically-defined entities that clinically often overlap but also have unique features manages links to the deferiprone trial database, the NBIA image archive and biobank. The collected information includes demographics, family and patient history, clinical signs, neurological exam, laboratory results, brain iron assessment and volumetry by imaging, treatments and trials. The disease course is captured by standardized scales measuring dystonia severity, quality of life and sleep, functional independence, cognition, motor functioning and activity of daily living. The annually entered information enables a longitudinal reconstruction of the disease course, while genomic, transcriptomic, proteomic and metabolomic data from research on the biobank specimens contribute additional dimensions to the registry.As a central data repository of TIRCON, the NBIA registry will be entered into the registry database. Together with these patient pseudonyms, codes identifying biospecimens, images, and data in the deferiprone trial database are kept in the registry and safeguarded by a sophisticated security and privacy architecture.The registry\u2019s security and privacy concept builds upon the security architecture of the German mitoNET repository , which For the use of data and biosamples, agreements have been specified and approved by local ethics committees and data protection authorities. Future research proposals will be reviewed by the TIRCON\u2019s Scientific Steering Committee (SSC). If the proposal is approved, pseudonymous or anonymous data will be released to the future investigator, depending on the proposal and the vote of the SSC. As an additional safeguard, re-identification attempts are prohibited by the data use agreements.In summary, this registry longitudinally collects multi-dimensional information on NBIA disorders to provide a rich resource for future natural history studies, evaluations of clinical and paraclinical surrogates or potential predictors of the disease, and correlation analyses of clinical subentities with pathogenic mutations, alleles of disease modifying genes, results of \u201c-omics\u201d and environmental factors. It will support the design of placebo-controlled, randomized, double-blind clinical trials, and allow probing which clinical, imaging or laboratory features of the disease may be modified by a treatment modality. The NBIA registry represents a paradigm fostering integration of international resources for the enhancement of scientific synergism and future research activities in a group of rare diseases.Methods of Information in Medicine, the International Journal of Medical Informatics, it \u2013 Information Technology, and Informatics. He serves on the Scientific Advisory Board of OFFIS, Oldenburg, and he has served for the Austrian Accreditation Council. He receives funding from BMBF grants 01 GM 1113C, 01 KN 1104, 01 EX 1020 E, Z76010067200, 80005012, and EU grants 284209, 277984; Ronald Lautenschlaeger \u2013 Receives personal compensation from TMF e.V.: Umbrella Organization for Networked Medical Research in Germany; Dr. Thomas Klopstock - Has received research support from government entities and from commercial entities ; Has been serving on scientific advisory boards for commercial entities and for non-profit entities . He has received speaker honoraria and travel costs from commercial entities . He has been doing consultancies for the Gerson Lehrman Group, USA, and has been serving as a Section Editor for BMC Medical Genetics from 2011. Other co-authors declare that they have no competing interests.Dr. Bernadette Kalman \u2013 Received travel support and honoraria for giving lectures on MS from Biogen-IDEC and Novartis; Serves as an Associate Editor for BMC Neurology; Received research grants from the NMSS and EMD Serono in the past; Dr. Klaus Kuhn - serves/has served on the Editorial Boards of Bernadette Kalman: Drafted main part and created the final version of the manuscript, designed the clinical and scientific content of the registry.Ronald Lautenschlaeger: Implemented the content and participated in the design of the IT \u2013 architecture and data security concepts of the registry, reviewed and revised the manuscript.Florian Kohlmayer: Participated in the design of the IT - architecture and the data security concept of the registry, reviewed and revised the manuscript.Boriana Buechner: Reviewed and revised the manuscript.Tomasz Kmiec: Contributed to the content of the registry, reviewed and revised the manuscript.Thomas Klopstock: Principal investigator for TIRCON. Contributed to the content design of the registry, reviewed and revised the manuscript.Klaus Kuhn: Designed the IT - architecture and data security concept of the registry, drafted part of the manuscript, reviewed and revised the final manuscript."}
+{"text": "Field trials are extremely important for all facets of research, breeding, and biotechnology. Tree physiology is distinctively different in greenhouses or growth chambers vs. field environments. Thus, results from non-field environments can be very misleading with respect to identification of promising biotechnologies and elite varieties. Large regulatory impediments to conduct of field tests of genetically modified (GM) trees will therefore tend to stifle scientific and technological development. This appears to be the case for genetically modified trees, where regulatory burdens to conducting field tests have grown in stringency in the USA and elsewhere in recent years ,2. Here,Information Systems for Biotechnology (ISB) maintainPopulus, Pinus, Eucalyptus, and Malus, with the first two accounting for approximately 60% of all field trials , Pinus, Ulmus (American elm), Prunus, Musa, Citrus, and Juglans. Forty field trials are being conducted by private companies, with ArborGen alone accounting for 36 of the 40 active field trials. Cornell University, North Carolina State University, Oregon State University, Purdue University, the United States Department of Agriculture (ARS) and the University of California, Davis are among the public institutions currently conducting field trials. One of ArborGen\u2019s field trials with cold tolerant Eucalyptus covers 197.2 acres. This is the largest current field trial in terms of acres and is being conducted in six different states. In terms of research objectives of current trials, marker genes dominate in terms of frequency of trials, with modification of wood quality the next most common objective.Currently, there are more than sixty field trials covering eleven different genera, with In the USA, transgenic trees are regulated in the same manner as agricultural crops , using rTM apples because of the color of their skin. The company has petitioned the Animal and Plant Health Inspection Service (APHIS) for deregulation of the product in the USA [A company known as Okanagan Specialty Fruits has taken the lead in the production of transgenic tree varieties produced by the insertion of cisgenes and intragenes . Non-bro the USA .Cold tolerant eucalyptus varieties were developed by ArborGen . The comA new two year pilot project has recently been announced by APHIS . Under t"}
+{"text": "Despite increasing control measures, numerous parasitic and infectious diseases are emerging, re-emerging or causing recurrent outbreaks particularly in Asia and the Pacific region, a hot spot of both infectious disease emergence and biodiversity at risk. We investigate how biodiversity affects the distribution of infectious diseases and their outbreaks in this region, taking into account socio-economics , geography (latitude and nation size), climate and biodiversity . We show, among countries, that the overall richness of infectious diseases is positively correlated with the richness of birds and mammals, but the number of zoonotic disease outbreaks is positively correlated with the number of threatened mammal and bird species and the number of vector-borne disease outbreaks is negatively correlated with forest cover. These results suggest that, among countries, biodiversity is a source of pathogens, but also that the loss of biodiversity or its regulation, as measured by forest cover or threatened species, seems to be associated with an increase in zoonotic and vector-borne disease outbreaks. The Asia-Pacific region, and particularly Southeast Asia, is recognized as a hotspot for biodiversity Infectious disease (ID) incidence has clearly increased during recent decades et al.The increased interactions between humans and wildlife resulting from habitat fragmentation are also affected by changes in wildlife species richness and community composition. At the local level, a reduction in biodiversity may lead to an increase in the prevalence and transmission rates of certain vector-borne diseases as reviewed by Keesing The original level of biological diversity is also important to explain the overall richness of infectious diseases Here, we explored the effects of biodiversity on patterns of infectious disease richness and outbreaks in Asia-Pacific. We considered two predictions related to the diversity of infectious diseases and the number of infectious disease outbreaks. First, the richness of ID should increase with increasing biodiversity , supporting regionally the pattern observed globally by Dunn et al. www.gideononline.com), which contains information on the presence of human infectious diseases and occurrence of epidemics in each country. This source has regularly been used in comparative studies of pathogen diversity http://worldbank.org/ddp/home.do) included country area and population, per capita gross domestic product (GDP), per capita health expenditure, forested surface area and forest as a proportion of each country\u2019s total area. Data on bird and mammal species richness are from Bird Life International (http://birdlife.org/datazone/home) and the International Union for Conservation of Nature . Per capita healthcare expenditure and the number of diseases for which a survey has been conducted in a country (GIDEON) were used as measures of investigation effort. The increase in health expenditure through time is likely associated with an increase in surveillance detection and outbreak reporting. This information was obtained from the Total Economy Database (www.conference-board.org/data/economydatabase/). We restricted our analyses to 28 countries for which sufficient data were available using the package ade4 (version 1.5\u20132) implemented in the R freeware programming environment . Correlation analyses and PCA allowed the identification of highly correlated variables such as latitude and temperature, or evapo-transpiration and mean annual precipitation . This fiWe used general linear models (GLMs) using package lme4 implemented R 2.10 to explain disease richness and number of outbreaks as a function of our explanatory variables. In order to explain to explain the richness in infectious diseases, an initial model included the following explanatory variables : mean annual temperature, mean annual precipitation, bird and mammal species richness (in log), population size (in log), nation size (in log), number of surveys, GDP and health expenditure. These explanatory variables included the ones selected in the study of Dunn et al. A second initial model, in order to explain the total number of outbreaks, included the following explanatory variables: mean annual temperature, mean annual precipitation, bird and mammal species richness (in log), population size (in log), nation size (in log), number of survey, GDP, health expenditure and richness of infectious diseases. We added also two other variables that represent the importance of impacts on biodiversity, the number of threatened bird and mammal species and the percent forest cover of the country. Additionally, we separated the disease outbreaks into three types: total, zoonotic, and vector-borne, and modelled each category. Selection of the best models was done using a step forward procedure based on AICc criterion. Initial and intermediate models are given in In order to illustrate graphically the effects of patterns of biodiversity and biodiversity loss on the richness and total number of outbreaks, we used the residuals of the selected regression models.The best model showed that the richness of infectious diseases is positivey linked to temperature (i.e. climate), population size and richness in bird and mammal species see . A countUsing the GIDEON data base, and over the period from 1950 to 2008, 124 different diseases with epidemics were identified in Asia-Pacific countries. An increase in both the number of outbreaks and the number of different diseases causing outbreaks through time was observed .Three models were created to explain the number of total infectious diseases, the total number of zoonotic infectious diseases and the total number of vector-borne diseases with outbreaks and the occurrence of epidemics in order to investigate different scenarios for the effects of changes in biodiversity on infectious risks File S1(DOC)Click here for additional data file.File S2(DOC)Click here for additional data file."}
+{"text": "India has made appreciable progress and continues to demonstrate a strong commitment for establishing and operating a disease surveillance programme responsive to the requirements of the International Health Regulations (IHR[2005]). Within five years of its launch, India has effectively used modern information and communication technology for collection, storage, transmission and management of data related to disease surveillance and effective response. Terrestrial and/or satellite based linkages are being established within all states, districts, state-run medical colleges, infectious disease hospitals, and public health laboratories. This network enables speedy data transfer, video conferencing, training and e-learning for outbreaks and programme monitoring. A 24x7 call centre is in operation to receive disease alerts. To complement these efforts, a media scanning and verification cell functions to receive reports of early warning signals. During the 2009 H1N1 outbreak, the usefulness of the information and communication technology (ICT) network was well appreciated. India is using ICT as part of its Integrated Disease Surveillance Project (IDSP) to help overcome the challenges in further expansion in hard-to-reach populations, to increase the involvement of the private sector, and to increase the use of other modes of communication like e-mail and voicemail. With the adoption of the International Health Regulations [IHR(2005)] by the World Health Organization (WHO), it has become obligatory for the Member States to put in place requisite manpower, money and material to comply with the provisions of the regulation. Each signatory country is expected to achieve identified capabilities, including developing and maintaining core capacities to detect and respond to potential public health emergencies of international concern (PHEIC) within its national borders. Use of modern tools of communication and international technology has helped to scale-up the rapid sharing of data.For rapid detection and response to any outbreak, natural or deliberate, a sensitive surveillance system is essential. A good communication system is the \u2018brain\u2019 of the surveillance system. It is the speed of communication which is most critical to contain or stamp out an outbreak, save lives, and prevent misery. It is challenging, however, to set up an effective communication system, and even more so in a country as large, populous, and technologically and linguistically varied as India.India, with an estimated population of 1.15 billion in 2010, supports almost one fifth of world\u2019s population on only about 2.5 percent of its surface area . This evThe Union Ministry of Health & Family Welfare adopted an Integrated Disease Surveillance Project (IDSP) to connect all district hospitals and state-run medical colleges to facilitate tele-education, training of health professionals and monitoring of disease trends. The disparity between states\u2019 urban and rural regions is bridged using modern information and communication technology (ICT). The goal of this World Bank-assisted project (USD 102 million), is to establish a decentralized, state-based disease surveillance system. The project aims to detect early warning signals of impending disease outbreaks and initiate effective and rapid health actions with the help of ICT at the district, state and national levels. The project is implemented through the Central Surveillance Unit within the National Centre for Disease Control (NCDC) at New Delhi .The IDSP is being strengthened to make it compliant with IHR(2005) requirements by supporting a nationwide effort for the immediate reporting of outbreaks. The establishment and operation of decentralized surveillance system meeting performance standards, with technical support from the WHO and the U.S. Centers for Disease Control and Prevention (CDC) in the areas of disease surveillance and outbreak investigations, health informatics, and laboratory-based surveillance, has been vital in implementation of IHR(2005). Several specific steps have been taken to:1) enhance the quality and frequency of use of communication network;2) further training for district level epidemiologists and data managers on use of portal;3) streamline the urban surveillance component;4) enhance networking of infectious disease hospitals;5) improve quality and timeliness of reporting.Some of the key components of the IDSP in India include:\u2022 Integration and decentralization of surveillance activities through establishment of surveillance units at national, state and district levels;\u2022 Human Resource Development through training of State Surveillance Officers, District Surveillance Officers, multi-disciplinary Rapid Response Teams, and other medical and paramedical staff on all aspects of disease surveillance;\u2022 Use of ICT for the collection, collation, compilation, analysis and dissemination of data through a web portal;\u2022 Strengthening of public health laboratories.In addition to monitoring diseases like vector borne infections, diarrhoeal diseases, respiratory diseases, and vaccine preventable diseases, the IDSP also has a category called \u2018unusual clinical syndromes,\u2019 which would alert public health professionals to an intentional release of any biological-agent. The local governments in each state have the option to add any other health condition to the list as deemed appropriate. The ICT network is then used for the collection, analysis, and rapid communication of data.Eight hundred sites have been identified to be part of an ICT satellite network. Sites include District Headquarters (604), State Headquarters 35), academic institutions like Government Medical Colleges (133), premier medical institutions (15) and Infectious Disease Hospitals (7). At the national level these are connected to the National Informatics Centre, the Central Surveillance Unit (at the NCDC) and the Ministry of Health & Family Welfare. [, academiThe India Space Research Organization (ISRO), through its Education Satellite (EDUSAT), has connected 360 of the 400 ICT network sites. The network operation centre is housed at the NCDC, and the Satellite Interactive Terminals (SITs) are located at State Headquarters, District Surveillance Units and Government Medical Colleges. ISRO connects all sites in northeastern states, hilly and island states, Tamil Nadu, Gujarat, and Maharashtra. The National Informatics Centre (NIC) has provided terrestrial (broadband) connectivity to 776 of the 800 sites. It has also provided high-end video conference equipments at all state and Union Territory headquarters. Upon completion, the network will enable 800 sites on a broadband network of which 400 sites will have dual connectivity with satellite and broadband ,6.http://www.idsp.nic.in) with options for data entry and analysis from the district level upwards related to disease surveillance. It is quicker, easier, and more powerful to update than print-based media. The portal can also convert data into charts and graphs. The data entry operators and data managers have been trained in data entry, analysis and transmission. The portal also has information on media and outbreak alerts.The NIC has created a single-stop web portal .The telecommunication industry is one of the fastest growing industries in India. The total telephone subscription base is approaching 600 million . The oveData is collected and reported on a weekly basis under the IDSP. When health workers at sub-centres suspect a case, they fill out Form-S (suspect case). The doctors at Primary Health Centres, Community Health Centres and Hospitals fill form P (probable case/presumptive case). The cases that are confirmed by the laboratory fill up Form L (lab-confirmed case). Data managers receive these completed forms from various centres, and data compilation and analysis is done at the district, state and national levels. Cases representing and unusual or rising trends are investigated by a Rapid Response Team (RRT) to diagnose and control the outbreak. Major hospitals and Infectious Disease Hospitals are also required to report surveillance data. Eighty-five percent of all districts are now reporting weekly data to IDSP ,6.To ensure preparedness and enhance the quality of disease surveillance, regular video conferences are organized by central surveillance unit of IDSP to discuss outbreak investigations and verification and control measures with various State Surveillance Officers, District Surveillance Officers and the Rapid Response Teams. Additionally, project review and monitoring for different aspects of the IDSP is undertaken periodically. Video conferencing facilities are also used for training purposes ,6.For efficient functioning of the surveillance system training of various IDSP functionaries is an on-going process. Educational satellite (EDUSAT) classrooms are available at State Headquarters, District Headquarters, Medical Colleges, Premier Institutions and Infectious Disease Hospitals ,9. The cThe call centre received 35,000 calls related to H1N1. The video conferencing facilities were used for training of medical officers in clinical management, infection control practices and laboratory support. The network also facilitated prompt receipt of test results.Appreciable progress has been made in putting together the infrastructure and development of skills to make the ICT network functional in disease surveillance programme. As previously mentioned, 776 out of 800 sites have been networked, 738 sites have videoconferencing facilities, about 850,000 sub-centres send weekly report on syndromes, about 150,000 Primary Health Centres, Community Health Centres, and hospitals send list of probable cases. Facilities for distance education have also been established. There are other areas which still need to be addressed, including encouraging private sector reporting, strengthening skills for data use and analysis at all levels, enhancing the convergence of information and communication technology with other national health programmes, improving media scanning and verification, and making data transmission all-inclusive by incorporating, mobile, text, voice, email and fax.CDC: Centers for Disease Control and Prevention; EDUSAT: Education Satellite; ICT: Information and Communication Technology; IDSP: Integrated Disease Surveillance Project; ISRO: Indian Space Research Organization; NCDC: National Centre for Disease Control; NIC: National Informatics Centre; PHEIC: Public Health Emergencies of International Concern; SIT: Satellite Interactive Terminals; WHO: World Health Organization; IHR: International Health Regulations.The authors declare that they have no competing interests.LK: developed the concept, drafted and finalized the manuscript. SKK: provided information, revised the manuscript.Both authors read and approved the manuscript."}
+{"text": "There is a dearth of evidence regarding the impact of urban regeneration projects on public health, particularly the nature and degree to which urban regeneration impacts upon health-related behaviour change. Natural experiment methodology enables comprehensive large-scale evaluations of such interventions. The Connswater Community Greenway in Belfast is a major urban regeneration project involving the development of a 9 km linear park, including the provision of new cycle paths and walkways. In addition to the environmental improvements, this complex intervention involves a number of programmes to promote physical activity in the regenerated area. The project affords a unique opportunity to investigate the public health impact of urban regeneration.The evaluation framework was informed by the socio-ecological model and guided by the RE-AIM Framework. Key components include: (1) a quasi-experimental before-and-after survey of the Greenway population , in tandem with data from a parallel Northern Ireland-wide survey for comparison; (2) an assessment of changes in the local built environment and of walkability using geographic information systems; (3) semi-structured interviews with a purposive sample of survey respondents, and a range of community stakeholders, before and after the regeneration project; and (4) a cost-effectiveness analysis. The primary outcome is change in proportion of individuals identified as being regularly physically active, according to the current UK recommendations. The RE-AIM Framework will be used to make an overall assessment of the impact of the Greenway on the physical activity behaviour of local residents.The Connswater Community Greenway provides a significant opportunity to achieve long-term, population level behaviour change. We argue that urban regeneration may be conceptualised meaningfully as a complex intervention comprising multiple components with the potential, individually and interactively, to affect the behaviour of a diverse population. The development and implementation of our comprehensive evaluation framework reflects this complexity and illuminates an approach to the empirical, rigorous evaluation of urban regeneration. More specifically, this study will add to the much needed evidence-base about the impact of urban regeneration on public health as well as having important implications for the development of natural experiment methodology. Most people in high income countries lead inactive lives, fuelling the rise in non-communicable diseases . PhysicaA review of gaps in the evidence for physical activity promotion highlighted a need for socio-ecological studies of community interventions . A systea priori hypotheses, clear definitions of target populations, explicit sampling criteria and the use of valid and reliable measures of outcomes [Given the scale, it is impossible for researchers to implement built environment interventions and therefore the use of natural experiments has often been the only option to evaluate the impacts of such interventions on health and wellbeing. Natural experiments are interventions that are not under the control of researchers, but often employ observational methods to understand the effects, compared to a control or comparison group . The metoutcomes .The aim of this study is to determine the impact of a systems-wide community intervention to promote physical activity in the context of a major inner city urban regeneration project.Specific objectives include evaluating:(i) The impact of a suite of community-based interventions to promote physical activity;(ii) The role of the local built environment, and of individual, community and organisational networks in sustaining change; and,(iii) The cost-effectiveness of this socio-ecological and systems-based approach to effecting physical activity behaviour change.The Connswater Community Greenway (CCG) is an exThe PARC Study is a before-and-after evaluation of the effects of the CCG on physical activity and health, and comprises of four main elements:1. A quasi-experimental before-and-after survey of the CCG population , utilising data from a parallel Northern Ireland-wide survey for comparison;2. Assessment of change in the local built environment and walkability using geographic information systems (GIS);3. Semi-structured interviews with 60 residents, and a range of community stakeholders before and after the regeneration project;4. A cost-effectiveness evaluation.The study has been approved by the Office for Research Ethics Committees, Northern Ireland (09/NIR02/66).A survey of a random selection of households will be conducted before-and-after the regeneration of the CCG. The target area was selected as 29 electoral wards identified during the development of the CCG project Figure\u00a0. The samThe survey content is informed by, and reflects the various levels of, the socio-ecological model comprising measures of individual, community and environmental factors Figure\u00a0. The priOutcomes which may moderate/mediate the relationship between changes in the built environment and physical activity will be assessed. These include (i) perceptions of the characteristics of the environment associated with active travel and physical activity, including aesthetics, safety and walkability - a \u201cwalTo control for the possible influence of weather patterns on physical activity, data for the seven days preceding interview will be collated from the nearest weather station via the UK MET office. This will include daily rainfall, hours of sunshine, minimum and maximum temperature and wind speed.In addition to participating in the household survey, a randomly selected sub-sample of 100 residents will be invited to wear an Actigraph GT3X accelerometer at both time points (before and after CCG construction) to provide an objective measure of physical activity for comparison with self-reported questionnaire data (GPAQ). Participants will be asked to wear the accelerometer from the time they wake-up to the time they go to bed, for seven consecutive days. Standard cut-off values for moderate and vigorous physical activity will be used to calculate total minutes of moderate and vigorous physical activity per week .Comparison data will be drawn from Northern Ireland-wide surveys of physical activity in approximately 4,000 randomly selected individuals from the general population at the same two time points . This wiThe sample size was estimated using the same method as Cochrane et al. , based o2 test. Multinomial logistic regression will be used to test a prediction model for categories of change in physical activity by area/age/income bracket, allowing a comparison of odds ratios for the various categories of physical activity by area [Area-by-category classifications of change in the proportion of the population meeting the physical activity guidelines will be compared by cross-tabulation and the difference in distributions assessed for statistical significance using the \u03c7 by area . A key sIn addition to the household survey, a comprehensive process evaluation, informed by the socio-ecological model, will be conducted before and after CCG construction Figure\u00a0.A purposive maximum variation sample of 60 households representing varying distance from the Greenway, and individuals of a range of age, gender and socio-economic position (SEP) will be selected and invited to participate in detailed semi-structured interviews. Participants will be identified from respondents to the household survey. The interviews will explore the effects of key determinants on physical activity behaviour. Specific topics will include (i) perceptions of own health, its determinants and lifestyle behaviours, (ii) perceptions of the barriers and facilitators to healthy lifestyles, (iii) effects of local environment on behaviours, motivation and personal health, (iv) knowledge of the Greenway and related local health promotion initiatives, and (v) perceptions of the quality of the local environment, including safety issues and expectations from the urban regeneration. The same participants will be interviewed at two time points, pre and post CCG construction. The qualitative data emerging from this series of interviews will add richly to the explanatory power of our quantitative data .Physical activity intervention design and implementation can benefit from meaningful participation of the community and relevant agencies. Focus groups (n=14) will be conducted with community stakeholders utilising the networks and knowledge of local community agencies. This collaborative approach will facilitate purposive sampling to recruit adults for the focus group discussions representing the diverse population of the study area . Topics explored will include engagement in physical activity, barriers and facilitators to physical activity in the local area, views on local facilities and opportunities for physical activity and the perceived usefulness of the proposed Greenway to encourage local residents to be more active. Focus groups will be audio-recorded and data will be analysed using a mixture of text-based content analysis and thematic analysis ,37.The sustainability of any efforts to support behaviour change at both individual and organisational levels will depend on the strength and empowerment of the community and inter-organisational networks. An assessment of the processes that facilitate or inhibit the effective implementation of the intervention strategy will form an integral part of the overall design . The evoIn order to examine the specific influence of changes to the built environment, GIS data of the environmental features in the area at the finest available spatial level pre- and post-regeneration will be collected. This will include mapping of the footpath network across the study area, topography, transport features, physical activity opportunities, for example, green space, local amenities, parks, using a mix of aerial photography, and checked using open source spatial data and aerial photography. The network will be tested and validated by peer checking of mapped elements and ground-truthing to assure its quality. The development and validation of the Real Walkable Network will be the subject of a future publication. These data will be used to revise the \u201cwalkability index\u201d for a 500 m and 1000 m buffer zone around the household of each respondent to the household survey. Analysis will include an assessment of the changes in walkability of the neighbourhoods and the influence of distance decay (exposure to the regeneration project) on physical activity behaviour. We will also map and describe individual household level change in objectively measured accessibility to the regenerated, environmental physical activity opportunities and examine the association between change to the built environment and change in physical activity and other health-related outcomes.Direct observation of usage of the Greenway will be conducted in two ways: (i) conducting before-and-after Intercept Surveys of CCG use (at four locations on the Greenway), adapting SUSTRANS methodology; (ii) employing the SOPARC (System for Observing Play and Recreation in Communities) methodology, a validated technique to assess the use being made of green space and parks in the area before and after the construction of the CCG . We willFurther, effective mechanisms are in place to collect information to assess the reach, \u2018dose\u2019 and fidelity of intervention implementation and of the resources used. The Belfast Health and Social Care Trust and the East Belfast Community Development Agency will collect core data on the number of people enrolling and completing various physical activity promotion initiatives in the CCG area.During the construction of the Greenway, aspects of local or regional transport infrastructure and policy may change, with implications for the active travel behaviour of local residents. Changes will be monitored using routinely available information, including bus timetables and traffic survey data collated by the Department for Regional Development (DRD). The latter will yield comparative information on average annual distances travelled by all forms of transport and access to and use made of public transport. DRD also collects routine information on bicycle use via electronic monitors dispersed throughout the city. In addition, effects on road traffic accidents will be monitored using routinely available statistics, compiled by the Police Service of Northern Ireland (PSNI). The effect of the urban regeneration on tenancy turnover rates, the quality of local social housing stock, and crime statistics in the target area and in neighbouring areas will also be monitored using Northern Ireland Housing Executive and PSNI data respectively.Conducting an economic evaluation of environmental interventions that promote physical activity is fraught with methodological difficulties and multiple approaches have been recommended . FirstlyReach, Effectiveness, Adoption, Implementation and Maintenance of any changes wrought by the regeneration [The RE-AIM Framework will be used to make an overall assessment of the impact of the Greenway on the physical activity behaviour of local residents, so that we have a clearer understanding of the neration ,48. ThisA major urban regeneration project has afforded a unique opportunity to evaluate a \u2018real world\u2019 natural experiment. The CCG is a complex intervention with multiple interacting components affecting a diverse population. Many challenges must be overcome in the development and implementation of an evaluation of such an intervention, requiring both methodological innovation and development.In response to the Foresight report and WanlThe RE-AIM Framework has been used to guide the evaluation of interventions that address the different levels of the socio-ecological model, including individual, community, organisational, and population level. King and colleagues have refA comprehensive evaluation framework has been developed by a multi-disciplinary research team comprising of academics from public health, economics, sociology, psychology, statistics and spatial planning. The research team has actively engaged with the local community partnerships, city council, health practitioners and a variety of government departments in planning the evaluation framework. Previous research suggests that building meaningful partnerships of diverse communities can improve health outcomes . The PARCCG: Connswater Community Greenway; DRD: Department for Regional Development; EAPRS: Environmental Assessment of Public Recreation Spaces; EQ-5D: EuroQol-5D; GIS: Geographic Information Systems; GPAQ: Global Physical Activity Questionnaire; ICER: Incremental Cost-effectiveness Ratio; PAF: Postcode Address File; PARC: Physical Activity and the Rejuvenation of Connswater; PSNI: Police Service of Northern Ireland; RE-AIM: Reach, Effectiveness, Adoption, Implementation, Maintenance; SEP: Socio-economic Position; SF-8: Short Form 8 Health Survey; SOPARC: Systems for Observing Play and Recreation in Communities; SportNI: Sport Northern Ireland.The authors declare that they have no competing interests.All authors contributed to the development of the study protocol and to the critical revision of the paper and approved the final version. FK had the original idea for the study and led the design of the study and the application for grant funding. MT, HMcA, GE, GH, LP, MD, MS, and MC (co-investigators) contributed to the design and writing of the original protocol and funding application. RH and MT wrote the first draft of the manuscript.The pre-publication history for this paper can be accessed here:http://www.biomedcentral.com/1471-2458/13/774/prepub"}
+{"text": "In silico methods are used in genome studies to discover putative regulatory genomic elements . Although a number of methods have been developed for motif discovery, most of them lack the scalability needed to analyze large genomic data sets.An important focus of genomic science is the discovery and characterization of all functional elements within genomes. word space and (2) scores words with a distributed Markov chain model.This manuscript presents WordSeeker, an enumerative motif discovery toolkit that utilizes multi-core and distributed computational platforms to enable scalable analysis of genomic data. A controller task coordinates activities of worker nodes, each of which (1) enumerates a subset of the DNA Arabidopsis thaliana; the results of the analysis were integrated into The Arabidopsis Gene Regulatory Information Server (AGRIS). A public version of WordSeeker was deployed on the Glenn cluster at the Ohio Supercomputer Center.A comprehensive suite of performance tests was conducted to demonstrate the performance, speedup and efficiency of WordSeeker. The scalability of the toolkit enabled the analysis of the entire genome of WordSeeker effectively utilizes concurrent computing platforms to enable the identification of putative functional elements in genomic data sets. This capability facilitates the analysis of the large quantity of sequenced genomic data. The importance of discovering the patterns and features in genomic sequences is motivated by a number of scientific contexts. The Encyclopedia of DNA Elements project (ENCODE) seeks \u2018to identify all functional elements in the human genome sequence\u2019 . Anotherwords) or sets of related substrings in DNA sequences. Most enumeration methods create a data representation of the input sequence(s) that provides fast retrieval of elementary word statistics. The representation serves as a central data structure for a number of other analyses, including statistical word scoring, word-clustering, and motif discovery. A number of algorithmic techniques for word space enumeration have been proposed. Each of the enumeration algorithms can be classified as either index-based range.Figure Figures Speedup and efficiency experiments were performed to assess in detail the scalability and the performance boundaries of the WordSeeker implementation. Figures The speedup and efficiency results show a drop in performance for very short words (5bp) and for very long words, (50bp and 75bp), but yield good results for word lengths of 10bp and 20bp. The performance drop for short word lengths occurs because the parallelization overhead outweighs the computational benefit; for longer word lengths, cache inefficiency and front-side bus contention cause performance to decrease (see for a deWordSeeker is a general purpose, scalable, open source approach to word enumeration. It supports an important set of use cases, has been applied to interesting case studies, and effectively exploits parallel and distributed computing hardware to provide scalable performance.WordSeeker is being used currently to perform complete word space enumerations on a genomic scale; to construct word and motif encyclopedias for whole genomes; to perform word-based characterizations of pathways, tissues, and co-regulated genes; and to identify motifs in ChIP-Seq data. Ongoing work includes the construction of OpenMotif, a project that combines a number of motif discovery open source projects into a cohesive framework.ENCODE: Encyclopedia of DNA Elements; DNA: Deoxyribonucleic acid; AGRIS: The Arabidopsis Gene Regulatory Information Server; UTR: Untranslated Region; ChIP-chip: Chromatin Immunoprecipitation with microarray technology; ChIP-Seq: Chromatin Immunoprecipitation with massively parallel DNA sequencing; OWEF: Open Word Enumeration Framework; MPI: Message Passing Interface; A, C, G, T: Adenine, Cytosine, Guanine, Thymine; RAID: Redundant Array of Independent Disks.The authors declare that they have no competing interests.JL contributed to the design, implementation and validation of the algorithms and models, the generation of the results and the writing of this document. KK, LN, LJN contributed to the development and implementation of the models and algorithms and the generation of the results. XL, RA contributed to the generation of the results. JDW, EJ and TB contributed to the development and implementation of the models and algorithms. KE and SSL contributed to the development of the models and algorithms. LE contributed to the development of the biological models. In addition to conceptualizing the architecture employed in this research, FD and LRW contributed to the design and validation of models and algorithms, and to the writing of this manuscript."}
+{"text": "The health system in India suffers from low level of public spending and high out of pocket payment. Public health facilities are funded on a fixed and uniform basis irrespective of their needs and performance. The National Rural Health Mission has introduced an innovative approach of flexible financing to public health facilities under Untied Funds (UF), Annual Maintenance Grant (AMG) and Aarogya Raksha Samithi Corpus Funds (ARS). Funds are currently allocated @ of INR 10000 at village level, INR 20000 at subcentre level, INR 175000 at Primary Health Centre, INR 250000 at community health centre and INR 500000 at district hospital level. Though funds are allocated to health facilities with adequate guidelines and flexibility, utilization of these funds is poor. Given the limited resource available for healthcare in the country, there is a need to rationalize the distribution of funds and allocate them efficiently. We undertook a study to propose a differential financing model for public health facilities.We conducted a cross sectional study of 46 primary and secondary level facilities in two districts of Karnataka in the year 2011-12. Retrospective data on resources, finance and performance of 2008-09, 2009-10 and 2010-11 were collected. In addition, interviews were conducted with members of ARS committee responsible for taking decisions on utilization of funds.The study found that utilization of funds in health facilities are influenced by several factors. These included per-capita allocation, distance from district headquarter, availability of equipment and infrastructure.We observed that there was no definite trend of impact of availability of human resources, number of beds, staff residing at the facility compound, training, cooperation among members and availability of guidelines on utilisation of funds at health facilities.The study strongly advocates the need for a more rational and systematic planning for utilization of funds allocated to health facilities taking into consideration other health system constraints. The study proposes a formula for allocating funds on differential financing method: at the village level committee at INR 10 per-capita, at the sub-centre level at INR 4 per-capita, for primary health centre at INR 6 per-capita, at the level of community health centre at INR 1.04 per-capita and at INR 4167 per functional bed and the current norm of INR 500000 per district hospital. Such a model would result in efficient utilization of funds, leading to better of quality of delivery of services.None declaredThe study was funded by the Karnataka State Health System Resource Centre, Bangalore and the Centre for Budget and Policy Studies, Bangalore."}
+{"text": "AbstractPossibilities of the assessment of a landscape with the use of succession development stages, monitored with the value of the Mean Individual Biomass (MIB) of carabid beetles and the occurrence of bird species are discussed on the basis of an example from Poland. Higher variability of the MIB value in space signifies a greater biodiversity. Apart from the variability of MIB, it is suggested to adopt the occurrence of the following animals as indicators, (in the order of importance), representing underlying valuable landscapes: black stork, lesser spotted eagle, white-tailed eagle, wolf, crane and white stork. The higher number of these species and their greater density indicate a higher value of the landscape for biodiversity and ecosystem services, especially carbon sequestration. All these indicators may be useful to assess measures for sustainable land use. As part of the ongoing discussion on the sustainable use of landscapes and ecosystem services we give here an overview on the relationship between biodiversity and carbon sequestration in forests as revealed by a long-term study in north-western Poland with particular reference to carabid beetle diversity.From the very beginning of life, environmental resources on Earth have been shaped by natural succession processes, influenced by climate, and by various disturbances such as orogenic movements, windfall, floods and fires. Depending on latitude and the geological base, these disturbance factors vary among various places on the globe. The lack of catastrophes entails the buildup of organic substances, which can be measured simply with the content of carbon. The content of carbon in a single hectare of natural forest of the moderate climatic zone shaped by succession processes for thousands of years, exceeds 350 tons/ha with upper limits estimated between 500 and 700 tons/ha . Half ofCaprimulgus europaeus), skylark (Alauda arvensis), northern dune tiger beetle (Cicindela hybrida) and, with the appearing pine wilding, the sticky bun (Suillus luteus) can strive (PageBreakPageBreakIn such old forests (old ecosystems created by nature), ecosystems have a specific composition of plant, animal and fungal species. Species that are linked to old trees, old decaying wood, and well developed soil, occur here . In suchn strive . The cren strive . Such spn strive .Camprimulgus europaeus) and woodlark (Lullula arborea) would have had no place to nest and the majority of birds of prey nesting in old trees would not have been able to hunt. Carabid beetles like Carabus nitens, Bembidion nigricorne, Pterostichus lepidus, Calathus erratus, Masoreus wetterhallii and Harpalus rufitarsis would not have occurred in this region (Suillus luteus), sulfur tufts (Hypholoma fasciculare) or, slightly later, chanterelles (Cantharellus cibarius) and porcinis (Boletus edulis) would not have been possible (PageBreakPageBreak(about 250 mg) is higher compared to a young pine plantation (Fringilla coelebes), great tit (Parus major) and coal tit (Parus ater). Carabids characteristic for this stage of succession include Carabus arcensis, Carabus nemoralis and Pterostichus niger and the most frequent and numerous fungi include the sickener (Russula emetica), brown roll-rim (Paxillus involutus), false morel (Gyromitra esculenta) and the cauliflower mushroom (Sparassis crispa). The planting of beech as undergrowth in ca. sixty year old pine stands followed by the removal of the pines ten years later results in the creation of beech stands, several of which in Poland are about eighty years old (Drycopus martius), stock pigeon (Columba oenas) and chaffinch (Fringilla coelebes). Characteristic carabids include Carabus coriaceus, Carabus hortensis and Carabus intricatus. Characteristic fungi are the dotted stem bolete (Boletus erythropus), fleecy milk-cap (Lactarius vellereus) and the death cap .Humans play a similar role in shaping ecosystems and landscapes. Ecological catastrophes can destroy the effects of our economic activities and constitute a danger our its safety. This is why humans manage the environment by trying to reduce floods, fires and windfalls. However, to preserve the full range of biodiversity, humans replace the forces of nature and mimic its destructive role by active management. This can clearly be illustrated for forests in Poland. If it was not for the interference with natural succession and the reduction of the carbon content of up to a few dozen tons per ha due to cs region . Additiopossible . The despossible , carbon antation . The speears old , Fig. 4cCiconia nigra) and the lesser spotted eagle (Aquila pomarina) and the wolf (Canis lupus) (Grus grus) and white stork (Ciconia ciconia) . These bs lupus) . The exiciconia) . Cranes in space . In lighin space .Landscape quality includes biodiversity (highest in mosaic landscapes) and carbon storage (highest in peat bogs and old forests) and sequestration (highest in regenerating forests), as well as other ecosystem services. Sustainable land use is essential in maintaining or creating landscapes with high natural qualities. There is a need to assess measures of sustainable land use, and various animals mentioned in this paper, including carabid beetles and their MIB values, may serve as important indicators for this."}
+{"text": "Natural product medicine (NPM) has been used to prevent and treat various human diseases in China, India, Japan, and other countries for centuries. Due to its long historical clinical uses and excellent therapeutic efficacy, NPM more and more attracts global attention, and many research institutes and pharmaceutical companies have been actively exploring NPM as a source for new drug discovery and development . HoweverWith the development of globalization and modernization of NPM, an important issue is the consistency and control ability of quality of NPM. Traditionally, identification of NPM is performed according to its morphological character, one or a few markers' thin-layer chromatography identification, and/or content determination , 4. HoweThe characteristics of action of NPM are synergistic action of multicomponents and multitargets . By a coIn this special issue of quality control of NPM and nutrient supplements, 15 research papers have been published by the previously mentioned chromatographic or spectroscopic methods and contributed to quality control of NPM. These papers focused on the quantification analysis of multiple chemical components, bioactivity and their mechanism of actions of chemical components, and pharmacokinetics and tissue distribution studies.Evodia rutaecarpa has been completed by HPLC-DAD method. The results indicated that the quality control of Evodia rutaecarpa could be simplified to the measurement of four constituents and that limonin, 1-methyl-2-undecyl-4(1H)-quinolone, and dihydroevocarpine should also be served as the chemical markers together with evodiamine for the quality control of Evodia rutaecarpa.Firstly, multicomponents determinations play a critical role in evaluating the quality of NPM and understanding the synergistic action of multicomponents and multitargets. Multicomponents quantitative methods of NPM were reported in this special issue. Among the analytical methods for NPM, HPLC with easy operation, high accuracy, and wide suitability is still the most popular method for the qualitative and quantitative analyses of NPM. For example, simultaneous quantification of limonin and six alkaloids in in vitro or in vivo experiments in this special issue. Secondly, active components of NPM should be clarified by different methods in order to achieve better quality control of NPM and nutrient supplements. The bioactivities of pure compounds or crude extract form NPM have been evaluated by Last but not least, with the development of pharmacy, more and more researchers focus their attention on pharmacokinetics in drug discovery. Pharmacokinetics including absorption, distribution, metabolism, and excretion is regarded as the foundation of new drug discovery. Pharmacokinetics encompasses a broad spectrum of experiment and connotation. Five articles devoted to pharmacokinetics and identification of metabolites from pure compounds or crude extract of NPM. The complexity of single herbs or compound preparations causes diverse pharmacokinetics, and these articles provide key information for researchers in the future studies.All in all, the published research papers will contribute to the development, improvement, validation, and/or extension of application of analytical methodology in the natural medicine sciences and nutrition supplements. Quality control of NPM has to establish reasonable analytical methods for analyzing the active constituents in NPM in order to clarify their therapeutic basis and mechanism of action more clearly. Shuang-Qing ZhangShuang-Qing ZhangFeng WeiFeng WeiYu-Ming FanYu-Ming FanFeng SunFeng SunYing-Yong ZhaoYing-Yong ZhaoShuhua BaiShuhua Bai"}
+{"text": "Coronary heart disease (CHD) is the leading cause of death. As the main treatment of CHD, modern medicine has improved dramatically in recent years. Although researches of TCM and integrative medicine on CHD are witnessed encouraging progress in many respects, the role TCM playing in the prevention and treatment of CHD has been unprecedentedly challenged under such circumstance of the very fast development of modern medicine. In order to share mutual complementary advantages of TCM and western medicine, this review summarizes the relatively prominent researches of TCM and integrative medicine on CHD in recent years, and illuminates the issue of the orientation of the further research of integrative medicine on CHD, including (1) original innovation of TCM etiology and pathogenesis, (2) combination of disease and TCM syndrome, (3) biological basis of TCM syndrome of CHD, (4) clinical design and quality control of integrative medicine research, (5) herb-drug interaction, (6) difficulties and hot issues of modern medicine. So far, there are so many researches of TCM and integrative medicine on CHD, however, with insufficient enhancement of clinical effectiveness. If the work on blood-stasis syndrome (BSS) is a milestone of TCM and integrative medical research on CHD, activating blood circulation by removing blood-stasis and its derived therapies have significantly improved the clinical effectiveness of TCM therapy on CHD , when co Combining disease with TCM syndrome is an important treatment model in TCM clinical practice. The theory of combining disease with syndrome reflects the principle of inheritance and innovation, which has been widely accepted by TCM and integrative medical practitioners for the advantages of scientificity and operability. Thus, it is the important breakthrough point of integrative medicine research on CHD. Previously, most of the TCM syndrome researches on CHD are cross-sectional studies focusing on syndrome distribution characteristics of CHD and different subgroups, which have made certain progress. Many results have shown that patients with CHD have the syndrome of asthenia in origin and asthenia in superficiality, and blood-stasis is the main syndrome element of CHD, followed by qi deficiency , 12. The It is worth mentioning that in the process of the occurrence, development, and prognosis of CHD, TCM syndrome is always in a dynamic change, so the research on the evolution law of CHD syndromes may help us understand the pathogenesis and prognosis of CHD in each stage or population and then improve clinical syndrome differentiation and treatment. But research in this field is still less and need to be strengthened. Mei et al. conducte\u03b3 are the possible marker proteins that might play crucial roles in the occurrence and development of BSS patients with CHD. Zhao et al. [\u03b2-hydroxybutyric acid, oleic acid, glucose, and alanine. The results showed that CHD-BSS is related with lipid metabolism, glycometabolism, as well as the stress induced by hypoxia and agonia. Applying various omics technologies, we can conduct researches in the holistic level, and provide strong technical support for the research on biological basis of TCM syndrome. Treatment based on syndrome differentiation is one of the characteristics and advantages of TCM in preventing and treating disease, but how to conduct syndrome differentiation exactly is the key to improve the clinical efficacy. The rapid development of modern medicine has provided technical support and good opportunity for the expansion and extension of the four methods of diagnosis of TCM and the organic combination of traditional macroscopic and modern microcosmic syndrome differentiation. In recent years, Chinese scholars have studied relevant factors affecting TCM syndrome differentiation of CHD and the biological basis of syndrome in the aspects of coronary artery lesion, cardiac function, changes in ECG, blood lipid, insulin resistance, homocysteine and inflammation factors, related gene, and so on . They hao et al. also appo et al. proposedo et al. found th In recent years, with the concept of evidence-based medicine (EBM) widely accepted, a number of multicenter, randomized controlled trials (RCT) with large sample focusing on the prevention and treatment of CHD have been carried out successively both in the fields of Chinese medicine and integrative medicine, for example, the randomized, double-blind, placebo-controlled trial on the effect of Xuezhikang (XZK) for regulating blood lipids and secondary prevention of CHD . The resStrengthen the top-level design of clinical trials and choose appropriate clinical research methods based on the clinical demands and research objectives. For most intervention studies, RCT including explanatory randomized controlled trial (ERCT) and pragmatic randomized controlled trial (PRCT) is usually the first choice. Recently, real-world study (RWS) , which iOutcome measures should be appropriate . Avoid mTrials are designed and conducted according to good clinical practice (GCP) principle. Strengthen the implementation of process management and quality control of clinical trials, such as the international registration of clinical trials, ethical approval, the third-party evaluation of end point, and data management, and reported trials in accordance with the consolidated standards of reporting trials (CONSORT) statement 2010 , in orde When conducting clinical trials of integrative medicine on CHD, we should pay attention to the following three points.If the combination of disease and syndrome is the integration of TCM and Western medicine in diagnostic level, then interaction of Chinese and Western medicine can be the practical problem we face in treating disease with integrative medicine. As the integrative medical model of patient-centered healthcare and combined application of botanical and chemical drugs evolving into a new trend of modern medicine in preventing and treating disease nowadays, the combined application of Chinese and Western medicine is increasing, and the potential interactions are drawing more and more attention .Herb-drug interaction has two meanings. One is the advantageous function of effect-enhancing and toxicity-reducing. CHD and other chronic noncommunicable diseases are often related to multiple risk factors, complex interventions, and multitarget treatment are more appropriate. Combination therapy with a TCM formula has been the feature and advantage of TCM. Some international scholars also proposed the concept of \u201cpolypill\u201d , which hhypericum perforatum, motherwort, ginseng, gingko biloba, salvia miltiorrhiza, garlic, and aconite, can possibly increase the risk of adverse events in patients with cardiovascular diseases by the interactions with other drugs, particularly in elderly patients who always consume multiple prescription medications in the same time for comorbidities [Another meaning of herb-drug interaction is the potential of increased risk of adverse reactions. International researches discovered that some botanical drug products including Chinese herbal medicine, such as bidities . In clinSo, herb-drug interaction is the issue that cannot be ignored in the research of integrative medicine on CHD. In clinical practice, doctors should notice the reference application of evidence-based medication , 49, pay Meanwhile, the firsthand material should be accumulated in routine clinical practice, as there is an important way to discover the meaningful clues of herb-drug interactions through the real-world data analysis. On this basis, design experiment scientifically, carry out the relevant studies involved in drug metabolism, pharmacokinetic, efficacy, toxicology, and the relevance of toxicity and efficacy, and conduct in-depth study of herb-drug interactions and their mechanism from drug absorption, distribution, transformation, metabolism, excretion, and so on.The development of modern medicine has brought new hope for the prevention and treatment of CHD. However, some new problems have unavoidably been presented, such as aspirin resistance (AR), restenosis after PCI, late thrombosis of drug-eluting stent (DES), the no-reflow phenomenon after revascularization, vulnerable plaque, contradiction of therapeutic angiogenesis, the viability and differentiation ability of transplanted cells when operating stem cell transplantation, and residual cardiovascular risk. These are still challenges which modern medicine has to face positively. Focusing on these key issues that influence the curative effect, we should give full play to the characteristics of TCM, complement each other's advantages of Chinese and Western medicine, and conduct researches scientifically.For instance, to the clinical problem of AR, we may screen potential Chinese herbals which have antiplatelet effect, then explore its material basis and active ingredients, illustrate the target point of drug action, find the lead compound, and optimize its structure. An effective Chinese herb with high-efficacy and low-toxicity will be of great significance in the prevention and treatment of cardiovascular disease. Some domestic scholars have recSalvia miltiorrhiza combined with bone marrow mononuclear cells autotransplantation through cardiac catheter to the model of myocardial infarction in swine, it promoted transplanted cell to survive, differentiate, and amplify, and many new myocardial cell and myocardial small vessel emerged. These facilitated the repair of damaged myocardial cells by synergies and complementing each other's advantages [Stem cell transplantation is also a hot issue. It may be a new dawn for the treatment of myocardial infarction, and its preliminary clinical study outcome was inspiring. A study indicatevantages and predIn conclusion, integrative medical research on CHD has made great development. Present studies shed light on the orientation of integrative medicine. From the progress of integrative medicine on CHD, in order to further complement each other's advantages of Chinese and Western medicine, researches should keep focusing research on original innovation of TCM etiology and pathogenesis, combination of disease and TCM syndrome, biological basis of TCM syndrome of CHD, difficulties and hot issues of modern medicine such as stem cell transplantation and strengthen clinical design and quality control of integrative medicine research. In addition, herb-drug interaction should not be ignored."}
+{"text": "Background: Firefighters have a high probability of being exposed to a variety of traumatic events. Potentially traumatic events can occur during a single rescue such as: providing aid to seriously injured or helpless victims. Moreover, firefighters who are injured in the line of duty may have to retire as a consequence of their injury. The psychological cost of this exposure may increase the risk of long-term problems, such as post-traumatic stress disorder (PTSD) symptoms, depression, and anxiety. Objective: The purpose of this study was to investigate the prevalence of PTSD symptoms, depression, anxiety, and assess related variables such as coping strategies and social support among Saudi firefighters. Method: Two hundred firefighters completed the Fire-fighter Trauma History Screen (FTHS) to measure the number of traumatic events, Screen for Post-traumatic Stress Symptoms (SPTSS) scale to assess the prevalence of PTSD symptoms, Hospital Anxiety and Depression Scales (HADS) to assess depression and anxiety, Brief Cope (BC) scale to measure coping strategies used, and Social Support scale was used to evaluate the firefighter's support received. Results: The results showed that 84% (169/200) of firefighters were exposed to at least one traumatic event. The result presented that 57% (96/169) of exposure firefighters fully met the DSM-IV criteria for PTSD with high levels of depression and anxiety; 39% (66/169) partially met the PTSD criteria. However, only 4% participants have not met the PTSD criteria. The results also revealed that adaptive coping strategies and higher perceived social support was associated with lower levels of PTSD. Conclusion: The high prevalence rate of PTSD related to the type and severity of the traumatic events and years of experience in the job. Accordingly, many firefighters were severely affected by their experiences, and we should be developing methods to help them."}
+{"text": "Salmonella-contaminated animal feed and their impact on public health. The workshop followed an article published in Clinical Infectious Diseases, which provided three recommendations to reduce human foodborne disease caused by Salmonella-contaminated animal feed on January 23, 2004, to discuss issues pertaining to Salmonella-contaminated feed, and data showing how contaminated animal feed contributes to human foodborne illness.A variety of organizations were represented at the workshop, including international government agencies, the United States Department of Agriculture (USDA), the United States Food and Drug Administration (FDA), and consumer groups. Speakers offered perspectives on bacterial contamination of animal feed, including examples of human illnesses traced to Salmonella in animal feed. Officials from the National Veterinary Institute of Sweden and the Norwegian Agriculture Inspection Service gave an overview of the control measures implemented in Sweden and Norway to ensure Salmonella-negative animal feed. Norway and Sweden have extensive surveillance programs for Salmonella control in animal feed. The measures implemented in Norway and Sweden are important contributing factors to the virtual absence of Salmonella in the food supply in their countries.The opening plenary session focused on international experiences in controlling Salmonella in food animals.Several U.S. government agencies, including CDC; USDA; and the National Institutes of Health, National Institute of Allergy and Infectious Diseases, presented research findings at the workshop. Presentations included results from animal feed commodity studies that look at the factors contributing to microbial pathogens, mycotoxins, and chemical residues in animal feed. Researchers from FDA and Washington State University also provided data indicating that contaminated animal feed continues to be a source of Salmonella-contaminated animal feed. Collaboration among all groups was stressed as a useful measure in controlling contaminated animal feed in the future.Further studies are necessary to document the precise contribution of contaminated animal feed to human illness. Nevertheless, some presentations suggest that practical interventions are available to reduce the prevalence of http://www.cdc.gov/narms/mce/animalfeeds.htm.A compact disk, including all of the presentations, agenda, and list of participants from the workshop, is available online at"}
+{"text": "Bifidobacterium and Bacteroides manifested the difference between SE and TE types. For anthropometry, body weight, body mass index, and waist circumference of the TE type were significantly higher than those of the other types. Overall, findings indicated a possible link between SC types and gut microbiota within a narrow age range. Further investigations are deemed necessary to elucidate the influences of age, gender, and other factors in the context of SC types and gut microbiota.The Sasang constitutional medicine has long been applied to diagnose and treat patients with various diseases. Studies have been conducted for establishment of scientific evidence supporting Sasang Constitutional (SC) diagnosis. Recent human microbiome studies have demonstrated individual variations of gut microbiota which can be dependent on lifestyle and health conditions. We hypothesized that gut microbial similarities and discrepancies may exist across SC types. We compared the difference of gut microbiota among three constitutions , along with the investigation of anthropometric and biochemical parameters. Firmicutes and Bacteroidetes were predominant phyla in all SC types. The median plot analysis suggested that Firmicutes and Bacteroidetes appeared more abundant in SE and TE, respectively, in the male subjects of 20\u201329 years old. At the genus level, Individualized treatment according to the patients' \u201csyndrome\u201d pattern is one of the characteristics of traditional oriental medicine in the East Asian countries. The Sasang constitutional medicine, a holistic approach based on the unique constitutional typology, has long been applied to diagnose and treat patient with various diseases. Characteristics pertaining one's physical, psychosomatic, and emotional aspects are integrated in the determination of Sasang constitutional (SC) types. The SCM deals with biological and psychological traits in individuals and explains individual differences in behavioral tendencies, physical characteristics, and varying levels of vulnerability to disease and responsiveness to environmental stimuli. Diagnosis under the SC typology divides human beings into four categories according to their inherited traits, including appearance, physiology, susceptibility to disease, and personality. Traditional Korean medical doctors classify patients using SC for diagnosis and treatment in clinics. However, like other forms of complementary and alternative medical systems worldwide, the identification of SC has been subjective and fallible because of lack of standardization and scientific evidence for a long time . Therefo12 cells per gram) in the intestine, and the diversity of microbes was higher in the intestine, compared with other sites .Supplementary Figure 3: The double pie chart of bacterial communities obtained from each sample of So-Yang. The inner circle indicates the composition of the phylum, and the outer circle indicates the composition of the genus.Supplementary Figure 4: The composition of bacterial communities obtained from each sample of So-Eum in the double pie chart. The inner circle indicates the composition of the phylum, and the outer circle indicates the composition of the genus.Click here for additional data file.Click here for additional data file."}
+{"text": "Musca domestica L.The correct version of the title is: Insecticide Mixtures Could Enhance the Toxicity of Insecticides in a Resistant Dairy Population of The first author Hafiz Azhar Ali Khan should also be affiliated with the institution: Institute of Agricultural Sciences, University of the Punjab, Lahore, Pakistan"}
+{"text": "There are some evidences in Brazil and others countries pointing out insufficient resources and actions to promote prevention and rehabilitation for substance abuse related disorders. Also the lack of professional qualification contributes to this scenario, generating knowledge deficiencies and inadequate practices. The study evaluates the Regional Reference Centre on Drugs of Juiz de Fora, Brazil (CRR-JF). The CRR-JF aims to train professionals of the local health sector (NHS) and social care system increasing their knowledge of screening and brief intervention (SBI) practices on the use of drugs and strengthening health care activities. Five courses are provided: Motivational Counseling and Brief Intervention, Case Management and Social Reintegration of Drug Users, Improvement of Medical Practices about Drugs, and Comprehensive Drug Care for Hospital\u2019s Professionals. Questionnaires were applied measuring participant satisfaction and changes in the practices. The added workload of the courses was 360 hours. A total of 180 professionals attended the courses . According to results, 83.2% of participants were satisfied or very satisfied about the courses attended; 61.3% evaluated the content of the courses as good, 28% as great, and 60% were very satisfied or satisfied with the applicability of the course content. Regarding SBI, the participants showed a significant increase in their level of trust and ability to approach users of psychoactive substances and counsel them to reduce or stop their consumption. Besides providing knowledge acquisition, participation in the CRR-JF enabled greater discussion of the practices carried out, reflecting on the work of professionals in the development of more effective interventions in prevention, promotion, and psychosocial rehabilitation of users of psychoactive substances. Acknowledgments: National Secretary of Policy on Drugs (SENAD), Coordination for the Improvement of Higher Education Personnel (CAPES)."}
+{"text": "E. coli was discussed from the points of view of enzyme level regulation, and gene level regulation. Then the effects of the specific pathway gene knockout such as pts, pgi, zwf, gnd, pyk, ppc, pckA, lpdA, pfl gene knockout on the metabolism in E. coli were overviewed from the systems biology point of view with possible application for strain improvement point.Recent metabolic engineering practice was briefly reviewed in particular for the useful metabolite production such as natural products and biofuel productions. With the emphasis on systems biology approach, the metabolic regulation of the main metabolic pathways in The concept of metabolic engineering has been proposed back in 1991 Bailey, .Escherichia coli, Saccharomyces cerevisiae, Corynebacterium glutamicum, Bacillus subtilis etc.; (4) metabolic pathways available in the strains from the available carbon source(s) to the target metabolite(s), (5) introduction of the heterologous pathways by recombinant DNA technology; (6) reduction of the flux to undesirable by-products; (7) enhancement of precursor metabolites production together with necessary cofactors production; (8) modulation of transporters for exporting the target metabolite(s) to the extracellular medium; (9) understanding the metabolic regulation mechanism by both allosteric regulation of enzymes and transcriptional regulation by global regulators; (10) robust and responsive genetic control system for the desired pathways and the host microbe, (11) methods for debottlenecking the chosen pathways; and (12) ways to maximize yields, titers, and productivities available raw materials such as cellulosic biomass, algae, and waste materials, which can be converted to glucose, xylose, fructose, galactose, mannitol, and glycerol etc. by the appropriate saccharification methods and their processing costs; (2) enhancement of the substrate uptake rate and co-consumption of multiple carbon sources (for the enhancement of the target metabolite production rate); (3) appropriate host microbes such as E. coli by probably considering the advantages of high cell growth rate and well-known characteristics etc. In the field of biofuel production, much interest has centered on S. cerevisiae. Corynebacterium glutamicum is also frequently employed as platform cell factories in industry in particular for amino acid production. An overview of the recent advances in engineering the central carbon metabolism of such industrially important bacteria as E. coli, C. glutamicum, B. subtilis, Streptomyces sp., Lactococcus lactis has been reported Fell, may be ain silico gene knockout simulations for succinic acid fermentation. Trinh et al. system and the MglBAC system for the case of using a mixture of multiple carbohydrates, an early attempt was to knockout Gosset, . Thus Gapgi gene, which codes for the first enzyme of Embden-Meyerhof-Parnas (EMP) pathway, was knocked out, the glucose catabolism occurs exclusively through the oxidative pentose phosphate (PP) pathway. As a result, NADPH is overproduced, and inhibits allosterically the activity of G6PDH, thereby reducing the glucose uptake rate, resulting in the low growth rate pathway is activated, and the flux through G6PDH is reduced for the gnd mutant .The effect of d mutant , PEP is accumulated, which causes the activation of Ppc and increases the Ppc flux. This in turn causes the increased fluxes through MDH (reverse direction) and Mez, and the reduced PYR (caused by Pyk disruption) could be backed up by these alternative pathway fluxes both activate the aromatic amino acid biosynthetic pathways is regulated by the phosphorylation /dephosphorylation of ICDH by aceBAK, and the decrease in OAA becomes dominant for the activation of glyoxylate pathway due to the importance of cell synthesis.If either the pathway . The metabolic flux analysis of lpdA gene knockout mutant indicates that glyoxylate pathway was activated, while glycolysis, the oxidative PP pathway, and the TCA cycle activities were down-regulated accumulates and in turn glycolysis intermediates accumulate, and thus the glucose consumption rate decreases. Moreover, the accumulation of PYR activates Pox pathway producing acetate, and in turn AcCoA is backed up by ACS pathway from acetate (aceBAK operon was induced to activate glyoxylate pathway. If sucA gene, which codes for subunit of \u03b1KGDH, was knocked out, the metabolism is a little different from the case of lpdA gene knockout (Li et al., If acetate (Li et apflA, B gene knockout caused overproduction of lactate (Zhu and Shimizu, pfkA and pykF gene expressions, and thus the glucose uptake rate was increased (Zhu and Shimizu, ldhA gene was knocked out, the fluxes toward the production of acetate, formate, and ethanol were increased as expected (Kabir et al., Under anaerobic or microaerobic conditions, NADH balance and the substrate level phosphorylation for the production of ATP may control the metabolic fluxes at the branch points such as PEP, PYR, and AcCoA (Zhu and Shimizu, E. coli. The metabolisms of other microorganisms have also been investigated by Fuhrer et al. (13C-metabolic flux distributions, where the changes in the metabolic flux distributions are caused by the regulation of enzymes and the intracellular metabolite concentrations. In addition to allosteric regulation, the enzyme activities are controlled by their corresponding gene expressions. Since gene expressions are under control of global regulators or transcription factors, it is quite important to understand how these control the metabolism for metabolic engineering (Matsuoka and Shimizu, The above explanation is for r et al. . The aboAlthough most of the metabolic pathway engineering practices have focused on the modulation of the metabolic pathways of interest, the present analysis indicates the importance of understanding the overall main metabolic regulation in response the specific pathway mutation for the efficient metabolic engineering. It may be also considered to modulate transcription factors for the significant strain improvement."}
+{"text": "Fasciola hepatica on the structures of the blood vessels and biliary tract in the sheep liver.The aim of this study was to evaluate the functional capacity of the liver based on the activity of specific enzymes and bilirubin in serum and also to investigate the influence of mechanical and toxic effects of F. hepatica, corrosion cast technique was used.Blood samples and liver of 63 indigenous sheep of Pramenka breed, slaughtered in the period from March to December 2009 were used. Based on parasitological findings in the liver, all animals were divided into two groups: control (n = 34) and infected group (n = 29). For investigation and description of pathological changes in sheep liver, naturally infected with P\u22640.05) of serum gamma-glutamyl transferase (GGT), total bilirubin (TBIL) and direct bilirubin (DBIL) in infected sheep group comparing with the control group. No significant differences were observed for activity of aspartate aminotranferase (AST) between groups. Vascular and biliary systems of the liver were found to be affected.Biochemical analysis of tested parameters showed a significant elevation (F. hepatica.Results of biochemical analysis are consistent with pathological findings and measuring of tested parameters could be used in early diagnosis of sheep fasciolosis and to test the effectiveness of anthelmintic therapy. Corrosion cast technique is very useful for investigation of pathological changes and neoangiogenesis of vascular and biliary system in sheep liver, caused by mechanical and toxic effects of Fasciola hepatica , which is mainly localized in the liver, bile ducts and gallblader of domestic and wild ruminants, especially in sheep. In animals, the subclinical and chronic disease usually results in decreased production of meat, milk and wool, secondary bacterial infections, fertility problems and great expenses with antihelmintics (Fasciolosis (Fascioliasis) is one of the most common parasitic disease in domestic animals, with a cosmopolitan distribution, particularly prevalent in countries with developed sheep production and very low socio-economic status, such as Bosnia and Herzegovina. It is caused by the hepatic trematode lmintics .F. hepatica, affect the complex vascular and biliary system in the liver. Properly functioning of these two systems is the most important factor for preservation of normal liver functions.The pathogenic effects of these flukes on the host organism begins with the ingestion of encysted metacercaria with vegetation or freshwater. After migration of juvenile forms through the hepatic parenchyma, flukes reside and graze on the mucosa of the bile ducts, which result in the massive tissue damage , 4. The Due to the complexity of vasular and biliary system examination, there are a number of different laboratory tests, which are based on biochemical analysis of serum parameters. These tests usually include the determination of serum transaminases , which are the most sensitive indicators of hepatocellular injury. Alkaline phosphatase (ALP), gamma-glutamyl tranferase (GGT), serum proteins and bilirubin are also used to evaluate the degree of cholestasis and syntetic capacity of the liver \u20138.Corrosion cast technique is usually used for anatomical investigations of three-dimensional vasculature and ductal architecture of some organs, and it has rarely been used for study of pathological changes in the liver caused by parasites or other pathogens .In only a few studies authors have used a corrosion cast technique for investigation and description of pathological changes in liver in natural and experimental induced fasciolosis in sheep and cattle \u201312.F. hepatica on the structures of the blood vessels and biliary tract in the sheep liver, using corrosion cast technique.The aim of this study was to evaluate the functional capacity of the liver based on the activity of specific enzymes and bilirubin in serum and also to investigate the influence of mechanical and toxic effects of F. hepatica. After that, all examined sheep, based on parasitological findings, were divided into two groups: control (n = 34) and infected group (n = 29).The study included serum and the liver of a total of 63 indigenous sheep of Pramenka breed, slaughtered in the period from March to December 2009. All sheep were from 1 to 3 years of age and body weight ranged 45 - 65 kg approximately. During the study, liver of the slaughtered animals was inspected for presence of PLUS with commercial kits . Direct bilirubin (DBIL) was determined by spectrofotometer BTS-330 , using modified Jandrassik/Gr\u00f3f method .Before the animals were slaughtered, blood samples for biochemical analysis were collected from the external jugular vein into marked vacuum tubes and transported at +4 \u00b0C to the laboratories of the Veterinary Faculty in Sarajevo. The blood tubes were centrifuged at 3.000 rpm for 10 minutes for serum separation. Due to poor stability of enzymes and bilirubin in the serum, the samples were analyzed within 6 hours. Liver enzymatic activities of aspartate aminotransferase (AST), gamma-glutamyl transferase (GGT) and total bilirubin (TBIL) were measured according to standard procedures using automatic analyzer DIMENSION - Xpand F. hepatica. After dissection and fine preparation the blood vessels were rinsed with saline solution and heparin to remove remaining blood and the clots. The biliary tract was rinsed also. To prepare corrosion cast models, blood vessels and bile ducts of each liver, were injected with acryl resin . Powder and solution of acrylat were mixed in a ratio of 1: 2 and then colored with different Biodur pastes. The portal vein, hepatic arteries, hepatic veins and bile ducts were stained green, red, blue and yellow, respectively. After hardening of resin at room temperature for 24 hours, the livers were macerated in 33% hydrochloric acid for 7-10 days. Later, corrosion casts were washed under tap water and air-dried . Differences were considered as significant when P\u22640.05.All statistical analyzes were performed using Minitab 15 software. Significant differences between infected and control group of animals were determined by Student's F. hepatica infected and control sheep and reference intervals are presented in The mean values of AST, GGT, TBIL i DBIL in serum of F. hepatica, revealed dilated, rough and wrinkled bile ducts. Smaller ducts on the edges of intermediate and cranio-ventral segments of the left lobe were lost terminal branches and 3. IFasciola hepatica causes the release of reactive oxygen species producing a damage of cell wall and hepatic tissue necrosis at the early stage of the infection could be related to the hepatocellular necrosis and degenerative changes produced by migration of juvenile flukes through the liver parenchyma , 17, 18.F. hepatica.Serum GGT values in infected sheep group were significantly higher than in the control group . Some auF. hepatica infected sheep recorded in the present study were confirmed by corrosion cast study.In the present study, concentration of TBIL and DBIL were significantly higher compared to the control group , but theChanges observed on the casts of bile ducts, arterial and venous blood vessels of the sheep liver from infected group, completely correspond to changes described by Rushton and Murray , 12 and According to Rushton and Murray , duct diObserved narrowing of the secondary and terminal branches of portal vein along changed bile ducts is most probably a consequence of exudation and inflammation (edema), as well as, secondary proliferation of connective tissue in the chronic phase of the disease . The samMalformations such as curved (serpentine) shapes, dilations, and loss of continuity on the casts of hepatic artery , we beliF. hepatica.Activities and concentration of AST, GGT, TBIL and DBIL in serum are reliable indicators of the stage of sheep fasciolosis and could be used in early diagnosis and to test the effectiveness of anthelmintic therapy. Corrosion cast technique is very useful for investigation of pathological changes and neoangiogenesis of vascular and biliary system in sheep liver, caused by mechanical and toxic effects of"}
+{"text": "Interest is growing in integrated systems of e-care for the frail elderly. The present project promotes cognitive training and assessment using ICT tools, stimulates the socialization, shares and monitors the situation of the elderly by different professionals, care givers and relatives.Within the frame of the European Commission funded SOCIABLE Project, 348 elderly are participating in the trial.The approach was pilot in seven different sites, across Italy , Greece , Spain (1 University) and Norway .SOCIABLE pilot study is a multi-national, multicenter, non-randomized, placebo-controlled efficacy study. Its primary objective is to evaluate the effects of a computer-based cognitive training and social activation program on the cognition, the affection and the functional abilities of cognitively intact elderly, patients with MCI and patients with mild AD. Conclusions: Two types of models of integrated care delivery for the frail elderly have been tested; one was characterized by group sessions in the pilot center assisted by caregiver or psychologist, another was stipulated in the use of ICT tools by the elderly at home. The first results of the trial will be illustrated.Integrated care delivery can be achieved in various ways. Irrespective of which model is adopted were detected high levels of satisfaction and performance by all groups and an important ability to monitor results by medical experts and care givers."}
+{"text": "In the past few decades the knowledge of the key pathogenic mechanisms of the disease has improved, but it remains far from being fully understood. Traditionally, the diagnosis of AD has been based on clinical symptoms, and accuracy studies of the current clinical criteria conducted in referral have shown high sensitivity for AD. However, identification of the disease, in particular in the early stages, remains difficult as pathological alterations may be apparent several years before the clear-cut clinical picture. Alzheimer's disease (AD) is the most frequent neurodegenerative disease in the elderly. It is characterized by progressive impairment in multiple cognitive domains, in particular memory, leading to severe impairment in daily living followed by progressive physical deterioration and death. The neuropathological hallmark of AD is the presence of cortical intracellular neurofibrillary tangles (NFT) and extracellular There is growing evidence that the use of biomarkers will increase our ability to identify AD earlier in the disease process and with higher accuracy. In addition, biomarkers will help elucidate the underlying biological and molecular changes, improve the detection of patients suitable for specific treatments, research studies or drug trials, and will contribute to a better management of the disease in the clinical practice. In this special issue on early clinical and molecular detection of AD, we have invited manuscripts that specifically address issues related to early and improved diagnosis of AD. The first two articles address the usefulness of current biological and neuroimaging markers for the diagnosis of AD, including genetic variation, plasma, serum and CSF biomarkers, brain atrophy measures, functional MRI measures, and amyloid burden evaluated by PiB compound. The third paper reevaluates the usefulness of common clinical rating scales for AD, frontotemporal dementia, and vascular dementia using factor analysis. In the fourth paper, the sociocultural impacts of novel molecular technologies for the early diagnosis of AD are addressed. The paper outlines three steps to assess sociocultural impacts. First, conceptual analysis of the ideas underlying technological developments shows how these technologies redraw the boundary between AD and normal ageing and between biological and social approaches of ageing. Second, scenarios are designed depicting different possible futures of AD diagnosis and societal ways to deal with ageing. Finally, the paper reviews the possibilities for deliberation on the potential sociocultural impacts. CDKN2A and CDKN2B on AD. Finally, the last paper assesses the effect of siRNAs silencing on gene expression. While commonly studies use RNA interference (RNAi) to investigate the effect of silencing of specific genes on their expression and effect on cell metabolism, the current paper takes this technology further by assessing the effect of allele-specific silencing of a particular mutant allele, in this case mutation L392V in PSEN1.Manuscripts five and six are original research studies assessing the effect of specific genetic variations on AD and AD endophenotypes. While the study by Swaminathan et al. explores the effect of copy number variation (CNV) derived by genome-wide screening in the ADNI cohort on AD and MCI, the study by Tedde et al. explores the effect of genetic variation in Benedetta NacmiasBenedetta NacmiasChristiane ReitzChristiane ReitzThomas ArendtThomas Arendt"}
+{"text": "The other two presenters suggested some practical methods for globalization of SCM on the basis of their experiences. After the three main presentations, there was a panel discussion session for further development of workshop topics, extended by five other external experts. They discussed the benefits, limitations and essentials for globalization of Korean Traditional Medicine, specifically SCM, from bench to bedside.The workshop on \u201cStrategic Approach to the Globalization of Sasang Constitutional Medicine (SCM)\u201d was held in the Korea Institute of Oriental Medicine (KIOM) on September 18, 2009. This workshop was designed to discuss and brainstorm the strategic approach to the globalization of SCM, one of the unique systems in Korean Traditional Medicine, with three topics and an extensive panel discussion. Professor Edwin Cooper, Editor-in-Chief of This isedicine\" . A brilledicine\" . Among sedicine\" . The othedicine\" , perspecedicine\" , currentedicine\" , the intedicine\" and curredicine\" . The thredicine\" , the assedicine\" and the edicine\" . The addedicine\" , quantitedicine\" and relaedicine\" .The publication of this special issue led to conduct aworkshop on \u201cStrategic Approach to the Globalization of Sasang Constitutional Medicine\". This was held in the KIOM, the unique government-funded institute for Korean Traditional Medicine in Korea, on September 18, 2009, in Deajeon, Korea supported by the Division of Constitutional Medicine, KIOM . This workshop was designed to discuss and brainstorm the globalization of SCM, one of the unique systems in Korean Traditional Medicine, with three presentations and a panel discussion.eCAM, gave a commemorative lecture on publication of the second supplement of eCAM. He made a brief introduction to this supplement and gave a 1-hour lecture about how to globalize SCM. He showed the print version of supplement with beautiful cover of \u201cBanquet of Seowangmo, Joseon dynasty (the name of Kingdom in Korea from 1392 to 1910)\", which was reproduced with the kind permission of the Los Angeles County Museum of Art. He introduced the content of this supplement briefly and introduced SCM as a unique contribution to the growing field of CAM. According to Prof. Cooper, the supplement to eCAM represents a milestone, in that it is the first publication in this area of alternative medical practices. He also described the rigorous peer-review process for the supplement and summarized how SCM represents a potentially fruitful modern approach to an ancient practice that will probably attract more and more attention. In conclusion, he finished his talk with the promise of that this application of an ancient system to international human health would be forthcoming.Professor Edwin L. Cooper, the Editor-in-Chief of Dr. Myeong Soo Lee of KIOM presented practical strategies for the publication of CAM researches in Science Citation Index journals. His main topic and contents were drawn from his personal experience of submission, publication and peer review of other scientist's papers. His talk started with the main factors for successful publication and the procedures for submission and the peer-review process. In particular, he showed several submission platforms of online journals and gave many personal tips for successful publication.Professor Han Chae from Pusan National University focused on how to enhance the publication of Sasang typology based on personal experiences in Korea and the United States. He also discussed how the uniqueness of SCM made publishing articles on the subject really tricky. He highlighted the most common errors that authors make in writing for publication, for example, trying to explain the whole subject in one manuscript, without giving enough reliable references supporting the underlying notions. His issue was the research model and operational definition that should be built up with sufficient references.After the three main presentations, there was a panel discussion session for further development of workshop topics, extended by five other external experts: Profs Young E. Earm , Byung Hee Koh (Kyung Hee University), Heon M. Lim , Kwang-Sup Soh and Jong Yeol Kim (KIOM). They discussed the benefits, limitations and essentials for globalization of Korean Traditional Medicine, specifically SCM, from bench to bedside.eCAM and the future role of editorial members for eCAM.The next day, I hosted a meeting of the Editorial Board in Seoul. The attendees were Profs Edwin L. Cooper (Editor-in-Chief), IL-Moo Chang (Kyung Hee University), Byung Hee Koh (Kyung Hee University), Sanghoon Lee (Kyung Hee University) and Myeong Soo Lee (KIOM), with Prof. and Dean, Seung-Hoon Choi (Kyung Hee University) as observer. We discussed several topics, including the second quarter's reports from"}
+{"text": "Phosphate plays a central role in the pathophysiology of CKD-MBD and the progression of chronic kidney disease (CKD) and contributes to the disproportionate cardiovascular risk faced by patients with CKD. Adaptation of nephrons attempting to preserve phosphate homeostasis requires endocrine tradeoff that fuel adverse events of hyperphosphatemia in CKD\u2014secondary hyperparathyroidism, calcium and vitamin D derangements, vascular calcifi cation, and metabolic bone disorder.In fact, in advancing CKD there is a multitude of biochemical, physiological, and clinical alterations, and mechanistic understanding of secondary hyperparathyroidism, vascular calcification, and regulation of phosphate metabolism in CKD has advanced significantly in the past five decades. The principal hormones that regulate renal phosphate handling are parathyroid hormone (PTH), which is produced by the parathyroid gland, and fibroblast growth factor (FGF)-23, which is produced by osteocytes and osteoblasts in bone. In healthy individuals, increasing serum phosphate concentration induces secretion of PTH and FGF-23, and Kloto decline.It has been established (and now accepted by nephrologists) that observational studies strongly suggest that phosphorus is associated with cardiovascular risk, and definitive prospective animal studies are supportive. However, prospective studies demonstrating that modulation of the putative risk factor affects clinical outcomes are lacking, and phosphorus, as yet, does not qualify as a cardiovascular risk factor.This special issue provides an identification of the complex mechanisms that determine the phosphorus and calcium metabolism in CKD-3 and CKD-4; a verify the association of serum phosphate and related factors in ESRD-related vascular calcification. It has also addressed mineral metabolism in patients with CKG in the Era of KDIGO Guidelines, the effect of vitamin D on clinical outcomes in chronic kidney disease, and the effect of paricalcitol on vascular calcification and cardiovascular disease in uremia. Finally, were also discussed the effect of the use of non-calcium-phosphate binders in the control of vascular calcifications; the clinical significance of FGF-23 in patients with CKD, the the relationship between arterial stiffness and vascular damage; the treatment of severe metastatic calcification and calciphylaxis in dialysis patients; the clinical impact of hypercalcemia in kidney transplant patients.Biagio Raffaele Di IorioBiagio Raffaele Di IorioMarkus KettelerMarkus KettelerDomenico RussoDomenico RussoAngela WangAngela Wang"}
+{"text": "Health research programs targeting the population of Gabon and Equatorial Africa at the International Center for Medical Research in Franceville (CIRMF), Gabon, have evolved during the years since its inception in 1979 in accordance with emerging diseases. Since the reemergence of Ebola virus in Central Africa, the CIRMF \u201cEmerging Viral Disease Unit\u201d developed diagnostic tools and epidemiologic strategies and transfers of such technology to support the response of the National Public Health System and the World Health Organization to epidemics of Ebola virus disease. The Unit carries out a unique investigation program on the natural history of the filoviruses, emergence of epidemics, and Ebola virus pathogenesis. In addition, academic training is provided at all levels to regional and international students covering emerging conditions that favor the spread of viral diseases. The International Centre for Medical Researches of Franceville (CIRMF) was founded in 1974 by His Excellency El Hadj Omar Bongo Ondimba, President of the Gabonese Republic, and Mr. Pierre Guillaumat, the chairman of the petroleum company, Total Gabon. The Centre was inaugurated on December 5th, 1979 with the participation of numerous internationally eminent scientists .In the 1990s, viral hemorrhagic fevers became a focus of attention in Equatorial. The decision to develop a high security laboratory for the study of Ebola virus disease came after a 1996 Ebola virus disease outbreak in Mayibout area, Gabon. The main objective was to develop the potential for rapid and specific diagnosis on viral hemorrhagic fevers and to have a backup for field investigation of severe viral hemorrhagic fever epidemics. Because the unique expertise and interaction of the CIRMF team along with the international World Health Organization (WHO) teams for Ebola virus disease, the Gabonese government agreed to such a project. The first BSL3+ (including negative pressure and glove box) laboratory was built in 1997, mostly financed by the Foreign Ministry of France . This lai.e., Ebola, Marburg, and Crimean-Congo hemorrhagic fever viruses). Research, including isolation and characterization of these highly pathogenic viruses is performed in accordance with international rules defined by WHO on the handling Risk Group 3/4 Agents Updated equipment includes a double door autoclave, thermo regulated cabinet, a high security centrifuge system, a conventional photonic microscope, a virus isolation unit, and two independent rooms the can be shut down alternatively after decontamination when necessary. An uninterruptable controlled electrical supply for refrigeration, computer systems, and other systems is ensured by two back-up power plants. The telecommunication network consists of mobile phones and the Internet through a dedicated satellite antenna. Other service units consist of a Primate Center, the Gorilla and Chimpanzee Study Station in Lop\u00e9 National Park, and the Dienga Health Observatory. Investigators from this observatory conduct field studies on the prevalence of viral and parasitic diseases and their implications for public health [On 45 hectares, the CIRMF campus has a working space of 2,500 square meters composed of a main building, laboratories, service buildings, and living accommodations . The prec health Pan troglodytes), gorillas (Gorilla sp), mandrills (Mandrillus sphinx), guenons (Cercopithecus sp.), collared mangabeys (Cercocebus torquatus), greater spot-nosed monkeys (Cercopithecus nictitans), vervet monkeys (Chlorocebus pygerythrus) and an Asian macaque (Macaca sp.) colony. One of the largest primate centers in Africa, the Primate Center is equipped with level A2 and A3 animal facilities for scientific research protocols. The Great Apes are housed in large open-air facilities. Semi-free living colony of twelve forested hectares harbor about half of the primates at the Primate center. At the Gorillas and Chimpanzee Study Station, researchers study ecological approaches to the emergence of zoonotic diseases, inter-species transmission of pathogens, and disease outbreaks in humans and wild animals [Dedicated to medical research, the Primate Center houses more than 450 primates belonging to ten different African species , Marseille, and other European agencies. The Scientific Council presided by Professor Patrice Debr\u00e9 recommends scientific policy to the Board of Directors .Running costs are funded by the Ministry of Economy, Gabon, the national petroleum company of Total-Gabon, and the Ministry of Foreign and European Affairs, France. Several international agencies participate in a variety of financial supports including scientists\u2019 salaries, equipment, research projects, and academic grants .Technical laboratory training support of Gabonese teams and other African countries has been one of the major aims of CIRMF. The UMVE actively participates in the academic training at the Regional Graduate School and the different State universities of Equatorial Africa. A special relationship with the \u201cHealth Sciences University\u201d of Libreville and the \u201cSciences and Technology University\u201d of Masuku in Franceville encourages collaborative research projects with teachers and supports students of the Faculties of Medicine and Sciences in the preparation of doctoral theses. CIRMF receives doctoral and post-doctoral scientists from other universities of developed countries . Continuing medical education in the form of post-doctoral workshops are held at the CIRMF for discussion and demonstration of modern techniques. As a National reference laboratory, CIRMF has the following roles: diagnosis of suspected cases during outbreaks of viral hemorrhagic fevers or severe clinical infectious syndromes; development of new methods for diagnosing such infections; surveillance of animal fatalities in reservoir or intermediate hosts; and intervention during outbreaks of unknown etiology. CIRMF diagnosed infections of more than 70 pathogens that could not be identified in other biology laboratories throughout the country. CIRMF maintains close ties to several components of the National Healthcare system, such as Amissa Bongo Regional Hospital in Franceville or the Sino-Gabonese Friendship Hospital. i.e.,: Military Hospital, Libreville; General Hospital, Libreville; A. Schweitzer Lambarene Foundation).In order to facilitate national and international scientific exchanges including scientists, equipment, biological specimens, the capital of Gabon, Libreville, is part of CIRMF operational system. Hosted by the University of Health Sciences, Libreville, one laboratory is now operational. Tight connections with other scientific teams in Libreville are under development to respond to all Ebola virus disease epidemics in Africa. CIRMF aims to use laboratory and field expertise be a regional focal resource in conjunction with local health authorities to organize epidemic responses. CIRMF expertise is also offered from by entering into laboratory-to-laboratory agreements. Also, an informal international laboratory network for the diagnosis and surveillance of severe infectious clinical syndromes includes: the Institut National de Recherche Biom\u00e9dicale, Democratic Republic of the Congo; Laboratoire National de Sant\u00e9 Publique de Brazzaville, Republic of the Congo; Metabiota/Laboratoire des Maladies Emergentes, Yaound\u00e9, Cameroon; Pasteur Institute, Bangui, Central African Republic; Institute of Virology, Bonn University, Germany; and P4 Jean M\u00e9rieux Lyon, France. Exchange of materials, equipment, and personnel is facilitated through memorandums of understanding. CIRMF holds more than 250,000 samples of various origins in a biological repository, which is accessible to the International scientific community. The UVME assists the National Public Health System in consolidating and formalizing microbiological monitoring of the Equatorial African sub-region. Ultimately, CIRMF will be positioned as a Center of Excellence for microbiological surveillance and research in a global network. Developing diagnostic tools and strategies is the main driver to improve surveillance and research of emerging viral diseases. A strategic choice was made to link syndromes to an etiological agent, including hemorrhagic syndromes. To isolate and diagnose highly pathogenic viruses, a progressive and diversified methodology was applied. The first approach used real-time virus-specific PCR (qRT-PCR). If the first approach was not successful, conventional RT-PCR was implemented using degenerate consensus primers targeting conserved regions of the genome. Ultimately, random amplification of nucleotide sequences was directly applied to the original biological material ).Hypsignathus monstrosus, Epomops franqueti, Myonycteris torquata) in Gabon and Republic of the Congo (Rousettus aegyptiacus) in Gabon, suggesting that bats might be reservoirs for filoviruses [UMVE studied the factors implicated in the three steps that led to Ebola virus and Marburg virus diseases emergence in humans. These steps include: the identification of reservoir species, the circulation within the natural host, the crossing to intermediary animal species, and finally the direct transmission to humans from great apes and fruit bats. Antibodies and nucleotide sequences specific for Ebola virus were detected in the liver and spleen of fruit bat belonging to three species , cold chain with the necessity to maintain in situ a unit of liquid nitrogen production (repository), and purified water supply.CIRMF is geographically isolated from the capital of Gabon, Libreville. The Libreville office is essential to the Franceville headquarters as it coordinates visits from staff on field missions, and forwards imported equipment to headquarters. The capital is accessible by a 12-hour ride in a four-wheel drive vehicle or in a train (three times/week schedule) covering 641 km. Due to tropical weather, four weekly domestic plane rotations often fly on an inconsistent schedule. Ultimately CIRMF needs to be largely autonomous in term of electrical power (CIRMF is uniquely suited to study infectious diseases of the Congolese tropical rain forest, the second world\u2019s largest rain forest. As a central point of a North-South transect of the rain forest, the Center is able to study the biodiversity of Africa including animal species, microbes, and parasites. CIRMF is dedicated to conduct medical research of the highest standard, and is the only facility of its type in Equatorial Africa. With unrivalled infrastructure, multiple sites, and multidisciplinary teams, the Center promotes a modern healthcare system in Gabon. CIRMF teams are engaged in trans-disciplinary projects bringing together specialists from the health sciences, biological sciences, veterinary medicine, conservation, the humanities, and environmental sciences. The Center welcomes partnerships from around the world to work on global human health issues."}
+{"text": "Anellovirus genus), and descriptions of new technologies that have profoundly affected the field of virology. This comprehensive desk reference provides concise definitions of virologic terms; enables quick fact checking; and provides useful, often difficult to find, information\u2014such as the origin of virus names, determination of ICTV-approved virus abbreviations, and locations and sources of viral isolations. An appendix of current ICTV-recognized virus families, subfamilies, genera, and type species is especially useful.Rapidly expanding technologies in the field of virology, identification of novel viral agents, and the 2005 report (8th edition) of the International Congress of Taxonomy of Viruses (ICTV) addressing reclassification of several viruses generated the 20% new material in Mahy\u2019s 4th edition of The Dictionary of Virology. The previous edition of this book was published in 2001; the 2009 edition includes recent advancements, such as newly described viruses human coronavirus, human metapneumoviruses, bocaviruses, and Rabensburg virus), reclassification schemes of viruses or viruses (the newly described virophages of mimiviruses). The increasing quantity of information about viruses of vertebrates ranging from fish to primates presented the author with considerable space difficulties. He compensated for this situation, however, by citing literature sources at the end of entries for readers seeking more information. Additionally, considerable cross-referencing enhances the utility of the book. On the basis of inclusion of new information in the field and my personal experience with previous editions of The Dictionary of Virology, I highly recommend this volume to students, virologists, microbiologists, and public health professionals interested in viruses of vertebrate hosts."}
+{"text": "The reoperations in cardiac surgery are technically more difficult, and the mortality and morbidity increased. It is huge importance of operative techniques, preoperative planning and the skills of the surgical team in those cases. We like to detect the different pre- and intra-operative reasons of the elevated morbidity and mortality, and the opportunities, how we could to reduce them.It was 79 REDO cardiac operations in our department during the last 2 years. The previous operations were: mitral valve (n=33), aortic valve (AVR) (n=15), CABG (n=22), AVR and CABG operations (n=4). We recorded the ejection fraction (EF), right ventricular pressure (RVP), intra-operative and postoperative complications, mortality, and postoperative bleeding.The most common reason of major bleeding injuries (MBI) was the damage of right ventricle . In contrast to the literary data, in our cases the MBI were not increased the mortality, and the mean intensive care unit (ICU) time. The early ventricular fibrillation , the MBI intra-arterial balloon pump application and mortality was higher after previous CABG operations. The incidence of non-fatal complications, MBI and the mortality were significant higher in those patients who had lower EF before, or/and higher RVP.The lower EF and higher RVP increases the mortality and elongated the mean ICU time. Due to this objects the REDO operation is indicated in the first time of the detection of necessity. The high RVP increase the possibility of MBI. In those cases the possible serious complications can be prevented by peripheral canulation, and the use of external defibrillator paddles. With proper preoperative planning and meticulous surgical techniques, the mortality and the serious postoperative complications can be reduced."}
+{"text": "Plasmodium falciparum. The efficiency of these treatments is however seriously compromised by the appearance and spread of drug resistance. Resistance is observed today to some extent against every available drug, including recent reports of resistance to artemisinin. Resistant strains of P. falciparum can spread in affected areas if they fare better than sensitive strains over the entire transmission cycle, including within-human and within-vector infection phases. Both hosts likely represent widely different environments for the parasite, particularly in terms of exposure to drugs and host-specific costs of resistance, which could notably affect the outcome of competition between resistant and sensitive strains and ultimately the evolution of drug resistance.Efforts to relieve the burden caused by malaria rely critically on the availability of drugs targeting To investigate this issue we present a model of malaria transmission combining between-hosts and within-hosts (human and vector) dynamics. The latter incorporates the impact of competition, treatment and immunity in a strain-specific fashion.P. falciparum, impact resistant strains . Finally we also investigate the effect of vector control methods on the prevalence of resistance.We show how costs of resistance, particularly within-vector costs, affect the selection for resistant strains. We also explore how different drugs, acting on specific parts of the within-human cycle of Weconclude that the evolution of resistance to antimalarial drugs is affected by biological specificities of the parasite across its entire life cycle, including dynamics within both hosts. Theoretical studies in this framework that incorporates parasites, humans and mosquitoes improve our understanding of the emergence and spread of drug resistance, and provide a better picture to investigate sustainable tools in the fight against malaria."}
+{"text": "Cardiovascular diseases (CVDs) prevalence continues to increase, and it is still the number one killer so far. In 2002, nearly 17 million deaths all over the world were attributable to CVDs, which accounted for almost 30% of the total deaths. Despite treatment with percutaneous coronary intervention (PCI) and many other conventional medicines, CVDs patients are still confronted with certain risk of recurrent acute cardiovascular events, readmission to the hospital, and unfavorable quality of life. In recent years, more and more clinicians have successfully applied complementary/alternative medicine (CAM) in CVDs prevention and treatment based on standardized conventional therapy. Nevertheless, the role of CAM in CVDs still needs more clinical evidence and definite mechanism of actions. In this issue, a collection of several original research articles and reviews are presented that address the clinical application and the mechanism of action of CAM in the treatment of CVDs. These works were submitted by researchers from different parts of the world, including China, Japan, South Korea, Australia, and Sweden. In these studies, the effectiveness of Chinese medicine and some other alternative therapeutic methods in improving symptoms was demonstrated in patients with hypertension, chronic stable coronary artery disease, chronic heart failure, and so forth. Specifically, the use of Chinese herbal medicines was reviewed for the prevention of in-stent coronary restenosis after PCI. The study of Tanshinone IIA, a diterpene quinine extracted from the root of salvia miltiorrhiza, a Chinese traditional herb, was presented as a promising cardioprotective agent. The positive effect of Chinese food and herbal medicines in improving certain moderate dyslipidemias was described. The usefulness of Xuezhikang, an extract from Red Yeast Rice, was reviewed in the treatment of coronary heart disease complicated by dyslipidemia. A pharmacological and mechanistic study showed Naoxintong's effect on cytochrome P450 2C19. Further, one study showed the effect of berberine on improving insulin sensitivity by inhibiting fat store and adjusting adipokines profile in human preadipocytes and metabolic syndrome patients. In the authors' opinion, the clinical research of Chinese medicine and other CAMs for CVDs still faces some major challenges. Issues such as overall quality of medical service and the unmet medical needs in the contemporary society are common to these medicines. A general guideline is required for practicing Chinese medicine and other CAMs, which should be developed based on solid evidence from well-designed and well-executed clinical studies. Such is the direction that the research of Chinese Medicine and other CAM should follow.Ke-ji ChenKe-ji ChenKa Kit HuiKa Kit HuiMyeong Soo LeeMyeong Soo LeeHao XuHao Xu"}
+{"text": "Schistosoma mansoni infection in the northern-most islands of this archipelago, a follow-up survey was conducted to ascertain whether transmission was endemic to this island group, combining parasitological and malacological surveys. Prevalence of intestinal schistosomiasis was again observed to be high, as was intensity of infections which, combined with low reported incidence of treatment, suggests that chemotherapy-based control initiatives are not being maximally effective in this region as high levels of population movement between islands and districts are confounding. The local disease transmission was confirmed by the observations of high abundance of Biomphalaria, as well as field-caught snails shedding S. mansoni cercariae. DNA sequencing of 12 cercariae revealed common mitochondrial cox1 haplotypes, as well as, novel ones, consistent with the high genetic diversity of this parasite in Lake Victoria. Intestinal schistosomiasis is firmly endemic in parts of the Sesse Islands and more broadly, this island group provides an insight into the future challenges to be faced by the Ugandan National Control Programme in regularly reaching these rather remote, inaccessible and largely itinerant communities.The Sesse Islands, in the Ugandan portion of Lake Victoria, have long been considered a low transmission zone for intestinal schistosomiasis. Based on observations of high prevalence of Schistosoma mansoni which, as part of its life cycle, requires a suitable freshwater snail intermediate host ; the predominantly exposed, sandy beaches of the Sesse Islands, mostly almost devoid of vegetation, were thought to be unfavourable for such snails, thus limiting the potential transmission of the disease. In 2003, the Ugandan Ministry of Health initiated a National Control Programme, consisting of mass drug administration (MDA) with praziquantel (PZQ) to school-age children in high-prevalence and high-risk districts, based on baseline data from rapid mapping surveys [The Sesse Islands, in the Ugandan portion of Lake Victoria, have long been considered a low transmission zone for intestinal schistosomiasis, although until recently, few if any formal surveys had been undertaken in this archipelago. The disease is caused by the trematode parasite surveys ,2. Kalanhttp://globalnetwork.org/) funded an ambitious study to attempt to survey all islands in the Ugandan part of Lake Victoria which revealed an extremely heterogeneous distribution of intestinal schistosomiasis in school-aged children on the Sesse archipelago [in situ. Moreover, the survey, as well as previous rapid mapping exercises of the Ugandan Lake Victoria shoreline, revealed high levels of community itinerancy, with a substantial percentage of children travelling frequently between islands and the mainland [As part of a larger effort to monitor the efficacy and coverage of the National Control Programme, in January 2010 the Global Network for Neglected Tropical Diseases (GNTTD: hipelago . Notablymainland . As suchS. mansoni eggs. Egg counts were multiplied by 24 for estimation of numbers of eggs per gram of faeces (EPG). Infection intensity classes were based on WHO recommendations, whereby <100 EPG is considered a 'light' infection, 100-400 EPG is a 'moderate' infection and >400 EPG is a 'heavy' infection [To clarify the possibility of high transmission and local endemicity in this part of the Sesse Islands, in November 2010 a combined parasitology and malacology expedition was conducted throughout the northern islands of Bufumira sub-county, revisiting the sites that had been mapped in January earlier in the year. As with the previous survey, a lot quality assurance sampling method (LQAS) was attempted [nfection . Each chThe follow-up survey's findings confirmed the observation of high prevalence of intestinal schistosomiasis in this portion of Bufumira sub-county, based on 11 of the sites first surveyed in January 2010, plus an additional location , their genomic DNA extracted using published protocols [cox1 gene amplified and sequenced [S. mansoni haplotypes from Lake Victoria and Lake Albert [In contrast to the January 2010 survey of Bufumira sub-county, the follow-up expedition also included a malacological element. At 15 sites, 12 of which were associated with a location also examined for prevalence of intestinal schistosomiasis in local school-aged children, the shoreline of Lake Victoria was surveyed for the presence and abundance of rotocols , and theequenced . The edie Albert -10.Biomphalaria were found, at several of the surveyed locations inclusive of numerous other freshwater snail species , as well as, two novel haplotypes, named H139 and H140 (Genbank accession numbers HQ839767 and HQ839768). This is consistent with sampling elsewhere in Lake Victoria, where the high genetic diversity of the parasite frequently results in new haplotypes being observed; the identification of H1 and H23 suggests that the Sesse Islands are part of the wider Lake Victoria 'population' of S. mansoni, as the parasite shows little population genetic structure throughout the region, potentially due to the mixing effects of human population movement and migration [Contrary to previous surveys elsewhere in the Sesse Islands, large numbers of s Figure . The maxBiomphalaria and prevalence of infected snails was tested statistically against the environmental observations also recorded using a multivariate linear regression model; increased abundance of Biomphalaria was positively associated with low turbulence/sheltered habitats, suggesting that the exposed beaches elsewhere in the Sesse Islands might be contributing to the low numbers of snails seen there. No other variables were significantly associated with abundance or incidence of infected snails.The relationship between abundance of S. mansoni, suggest that Bufumira sub-county may be a local hotspot for intestinal schistosomiasis, and contradicts earlier evidence suggesting that this western portion of Lake Victoria is a much lower transmission environment than the eastern regions [Overall, the combination of parasitological and malacological surveys has clearly confirmed the endemicity of intestinal schistosomiasis to certain parts of the Sesse Islands, and emphasized the importance of maintaining control initiatives in Kalangala District. The high prevalence of the disease, combined with the observation of snails shedding various haplotypes of regions . In fact regions ,12. SincThe authors declare that they have no competing interests.The study was conceived by CJS, NBK and JRS. Fieldwork was undertaken by CJS, MA, FB and JRS; CJS, MA and FB collected parasitological samples and MA and JRS carried out malacological surveys. Molecular and statistical analyses were done by CJS; the manuscript was prepared by CJS and JRS, and all authors read and approved the final version."}
+{"text": "Charcot neuro-arthropathy (CN) is one of the most devastating complications of diabetes. To date it appears that no clinical tools based on a systematic review of existing literature have been developed for the management of acute CN. Thus, the aim of this paper was to systematically review existing literature and develop an evidence-based clinical pathway for the assessment, diagnosis and management of acute CN.Electronic databases , reference lists and applicable websites were systematically searched for literature discussing the assessment, diagnosis and/or management of acute CN. At least two independent investigators then quality rated and graded the evidence of all identified literature. Consistent recommendations emanating from the included literature was then fashioned in a clinical pathway.The systematic search identified 267 manuscripts, of which 117 (44%) were assessed to meet the inclusion criteria for this study. As hypothesised, most literature discussing the assessment, diagnosis and/or management of acute CN constituted level IV or EO evidence. The included literature was used to develop an evidence-based clinical pathway for the assessment, investigations, diagnosis and management of acute CN.This research has assisted in developing a comprehensive, evidence-based clinical pathway to promote consistent and optimal practice in the assessment, diagnosis and management of acute CN. The pathway aims to support health professionals in making early diagnosis and providing appropriate immediate management of acute CN, ultimately reducing its associated complications such as amputations and hospitalisations."}
+{"text": "The fourth international conference on emerging zoonoses brought together 180 scientists and healthcare specialists from 18 countries working to control diseases transmitted from animals to humans. The meeting took place under the auspices of the Center of Food Security and Public Health, USA, and the Institute for International Cooperation in Animal Biologics . Brucella isolates from feral swine in coastal South Carolina. Another presentation concerned the increasingly appreciated role of wildlife in the dynamic epidemiology of other zoonotic infections, such as tuberculosis. Scientists also explored the intricate routes prions follow between wildlife and domestic animals; between sheep, cattle, and humans; and between the tongue and brain of infected animals.A multidisciplinary and global approach shed new light on both old and new zoonoses. For example, brucellosis topics covered a wide range of material, from economic aspects of control in Mongolia to characterization of Since most agents of bioterrorism potential are zoonotic, a full session was dedicated to bioterrorism and biodefense. It included a global view, a report on national preparedness by Israeli hospitals, and examples of research that may eventually help experts coping with bioterrorism but would also unfortunately be accessible to persons with malicious intent.Innovative methods for preventing spread of foodborne pathogens were presented, including the use of fluorescence spectroscopy to detect fecal contamination on animal carcasses or the use of vaccination to reduce transmission of zoonotic pathogens and drug-resistant nonpathogens through the food chain to humans. In the field of xenotransplantation, key components of a source-animal production facility were described. The feasibility of breeding pigs free of designated pathogens offers hope for wide use of xenotransplantation in the near future.Mycobacterium avium subspecies paratuberculosis, the etiologic agent of Jhone\u2019s disease in cows, brought some hope in solving the long-lasting dispute on its role in the pathogenesis of Crohn\u2019s disease in humans.Participants also discussed current trends and challenges of protozoan parasitic zoonoses, including cryptosporidiosis, toxoplasmosis, African and Latin American trypanosomiasis, and leishmaniasis. Controversial zoonotic viruses were given an important place in the conference. These included hepatitis E virus, with similar strains causing liver disease in swine and humans; Borna disease virus, causing neurologic disease in various species of animals as well as, debatably, psychiatric disorders in humans; and the recently discovered severe acute respiratory syndrome\u2013associated coronavirus and its yet-undefined animal reservoir. The recent mapping of the genome of The value of using a global, multidisciplinary approach was highlighted in studies on the flow of genes among avian, swine, and other influenza viruses and on the ongoing intercontinental spread of arboviruses, exemplified by the evolving epizootic of equine West Nile encephalitis in the United States. Several papers dealt with the epidemiology of Nipah, Ebola, monkeypox, rabies, and Hantaan viruses.Escherichia coli O157:H7 or by species of Anaplasma, Bartonella, Borrelia, Campylobacter, Coxiella, Francisella, Pasteurella, and Salmonella.A series of presentations demonstrated how genomic fingerprinting and other sophisticated molecular biology techniques allow exceptionally fast development in understanding the epidemiology and pathogenesis of many zoonotic infections, such as those caused by http://www.zoonoses2003.com).The \u201cone-track\u201d meeting, by avoiding parallel and superspecialized sessions, gave an opportunity for fruitful and inspiring interactions among experts from multiple disciplines with a shared goal of mitigating human disease from emerging infections. More details on the meeting can be viewed online (available at:"}
+{"text": "Chinese herbal medicine is increasingly widely used as a complementary approach for control of breast cancer recurrence and metastasis. In this paper, we examined the implicit prescription patterns behind the Chinese medicinal formulae, so as to explore the Chinese medicinal compatibility patterns or rules in the treatment or control of breast cancer recurrence and metastasis.This study was based on the herbs recorded in Pharmacopoeia of the People\u2019s Republic of China, and the literature sources from Chinese Journal Net and China Master Dissertations Full-text Database (1990 \u2013 2010) to analyze the compatibility rule of the prescription. Each Chinese herb was listed according to the selected medicinal formulae and the added information was organized to establish a database. The frequency and the association rules of the prescription patterns were analyzed using the SPSS Clenmentine Data Mining System. An initial statistical analysis was carried out to categorize the herbs according to their medicinal types and dosage, natures, flavors, channel tropism, and functions. Based on the categorization, the frequencies of occurrence were computed.The main prescriptive features from the selected formulae of the mining data are: (1) warm or cold herbs in the Five Properties category; sweet or bitter herbs in the Five Flavors category and with affinity to the liver meridian are the most frequently prescribed in the 96 medicinal formulae; (2) herbs with tonifying and replenishing, blood-activating and stasis-resolving, spleen-strengthening and dampness-resolving or heat-clearing and detoxicating functions that are frequently prescribed; (3) herbs with blood-tonifying, yin-tonifying, spleen-strengthening and dampness-resolving, heat-clearing and detoxicating, and blood-activating with stasis-resolving functions that are interrelated and prescribed in combination with qi-tonifying herbs.The results indicate that there is a close relationship between recurrence and metastasis of breast cancer with liver dysfunctions. These prescriptions focus on the herbs for nourishing the yin-blood, and emolliating and regulating the liver which seems to be the key element in the treatment process. Meanwhile, the use of qi-tonifying and spleen-strengthening herbs also forms the basis of prescription patterns. Breast cancer is one of the most common malignant tumors among women, and the incidence increases every year in both developed and developing countries . Every yToday, the standard therapies for breast cancer include surgery, chemotherapy, radiation therapy, and hormonal therapy. However, even though patients receive systemic treatment, there is still 10% to 30% chance of recurrence and metastasis. Among the patients with local recurrence, 75% to 93% will eventually develop distant metastasis with an extremely low 5-year survival rate . VisceraRecently, the use of natural Chinese herbal medicine with anti-tumor effects is receiving more and more attention from the public . In tradIn Chinese medicinal therapy, experienced Chinese medical practitioners prescribe a medicinal formula\u2014a combination of various single herbs\u2014for the treatment of ailments. According to TCM theories, pharmacological and pharmacodynamic relationship exists among herbs, which is deemed as Chinese medicinal compatibility. The compatibility of Chinese herbal medicine has particular rules and patterns. In Chinese medicinal database, there are over ten thousand medicinal formulae which enclose complicated information. However, a well-established and orderly system for organizing the information of Chinese medicinal formulae does not exist. This implies that a large amount of implicit prescription patterns behind the formulae have not been fully disclosed ,16.LHS\u21d2RHS, where LHS and RHS are sets of items, and the RHS set is likely to occur whenever the LHS set occurs. One of the applications of association rules mining is to mine association rules in medical record data [Association rules mining is one of the methods for discovering meaningful associations or correlations between variables in large databases. It identifies frequent item sets from the data sets, and then uses these frequent item sets to form their association rules. To select meaningful rules from the set of all possible rules, minimum thresholds on support and confidence are the two important constraints. An association rule has the form ord data ,18. Sincord data . The supord data .This study was based on Pharmacopoeia of the People\u2019s Republic of China recordedThere were five types of literature included, including literature: (1) related to clinical research on using Chinese medicine for the prevention and treatment of breast cancer recurrence and metastasis; (2) related to clinical research on using Chinese medicine for the treatment of advanced stage breast cancer; (3) related to clinical research on using Chinese medicine for the prevention of postoperative breast cancer recurrence and metastasis ; (4) with randomized controlled trials as the study design; and (5) where the clinical study aims to prove the efficacy of experimental group with Chinese medicinal treatment over control group.Literature with the following criteria were excluded: (1) small-sample-sized studies with less than 20 cases; (2) studies which primarily aimed to treat complications of operations or to reduce the side effects of chemotherapy; (3) studies without investigation into the use of Chinese medicine for the treatment and prevention of breast cancer recurrence and metastasis; (4) studies which provided only the names of formulae but without descriptions of herbal ingredients; (5) duplicate publications reporting the same group of participants; and (6) literature in which the clinical trial received a Jadad score of less than 2.Association rules mining is a popular and well-researched method for discovering interesting relations between variables in large databases . We usedTwo parameters (support factor and confidence factors) were essential in association rules mining. With regard to support and confidence in discovering the association rules, the user shall set the minimum support (min-sup) and the minimum confidence (min-conf) as critical values providing the baselines for discovery. Only the combinations that satisfy the minimum thresholds on support and confidence were considered to mine meaningful rules. The selection of thresholds (support and confidence) was always an issue. If the minimum confidence is set too high, a lot of useful data will be missed. To find an effective drug compatibility mode, we discovered central tendency of association rules to be more obvious at the support of 0.1 and confidence of 0.6 in the two correlation analysis of these herbs (used pairs of couplet herbs) and the pairs of herbal functions. So the minimum support of 0.1 and the minimum confidence of 0.6 were specified in this study.Based on Pharmacopoeia of the People\u2019s Republic of China, the ingredients of Chinese medicine were listed according to the selected medicinal formulae and were organized to establish a database. The computing software Microsoft ACCESS was used as a storage tool, and then the SPSS Clenmentine Data Mining System was used as a platform to analyze the frequency and the association rules of the prescription patterns. An initial statistical analysis of the database was carried out to categorize the herbs according to their medicinal types and dosage, natures, flavors, channel tropism, and functions. The frequencies of occurrence and use were then computed based on the categorization. In additionthe associations between different functions of Chinese herbs from the formulae were also examined using the association rules mining.The 180 herbs were categorized according to the Five Properties and Five Flavors Table . Based oThe results of the association analysis based on channel tropism theory among 180 herbs Table showed tThere are 96 medicinal formulae with a total of 180 herbs included in this study. The total cumulative occurrence of 180 herbs appearing in 96 formulae was 1001 times. The following 13 herbs were frequently prescribed (over 20 times):a Principal function in qi-tonifying, including : Huang Qi , Bai Zhu , Gan Cao , Tai Zi Shen (Radix Pseudostellariae), Dang Shen (Radix Codonopsitis Pilosulae)b Principal function in spleen-fortifying and dampness-resolving, including : Fu Ling (Sclerotium Poriae Cocos), Yi Yi Ren (Semen Coicis),c Principal function in heat-clearing and detoxicating, including : Shan Ci Gu (Pseudobulbus Shancigu), Bai Hua She She Cao (Herba Hedyotidis Diffusae), d Principal function in blood-tonifying, including: Dang Gui (Radix Angelicae Sinensis), u e Principal function in yin-tonifying, including: Gou Qi Zi (Fructus Lycii), f Principal function in blood-activating and stasis-resolving, including: E Zhu (Rhizoma Curcuma Phaeocaulis), andg Principal function in qi-regulating, including: Chen Pi (Pericarpium Citri Reticulatae) (Table e) Table .Herbs with tonifying and replenishing , blood-activating and stasis-resolving, spleen-fortifying and dampness-resolving or heat-clearing and detoxicating functions appeared to be most frequently prescribed for the treatment and prevention of breast cancer recurrence and metastasis Table . The topAssociation rules mining was applied to investigate the associations between pairs of herb functions from the formulae, and to examine the Chinese medicinal compatibility patterns Table . The minThe top three pairs of herbal functions with the highest confidence included the blood-tonifying paired with qi-tonifying functions (93.18%), the qi-regulating paired with qi-tonifying functions (93.10%) and the yin-tonifying paired with qi-tonifying functions (92.50%).Couplet herbs are two herbs used in pair to increase the therapeutic effect or reduce the toxic effect. To further examine the compatibility patterns of couplet-medicinal prescriptions, we targeted the herbs for healthy-qi reinforcement , and the herbs for pathogenic-factor elimination , which were frequently prescribed for the treatment and prevention of breast cancer recurrence and metastasis Table . The minFrom the herbal perspective, breast cancer is the local manifestation of a whole-body disease, referred to as an intrinsically deficient but extrinsically excessive syndrome. Based on TCM theories, deficiency of spleen qi, inadequate source of engendering transformation, deficiency of qi and blood, and excess of phlegm-dampness are believed to be the main mechanism responsible for development of breast cancer ,25.The 180 herbs were classified according to the Five Flavors, and herbs that were sweet or bitter were the top two most frequently prescribed herbs in the formulae. In TCM theories, herbs that taste sweet can be used for supplementation, moderation and harmonization, referred to as tonifying and replenishing herbs. Herbs that taste bitter can be used for discharging and downbearing, referred to as heat-clearing and detoxicating herbs. However, sweet tasting herbs with spleen-strengthening functions were prescribed and used more frequently than herbs with a bitter taste for clearing heat.Breast cancer is different from the other cancer types, as the onset of this disease usually peaks at menopausal . The patAmple clinical research of Chinese formulae reinforces the spleen to regulate qi and soothe the liver to alleviate pain. Thus, they do not only resist tumor and strengthen the body, but also have anti-cancer effects on metastatic breast cancer ,28.From the TCM perspective, the etiology of breast cancer is due to deficiency of the healthy qi, which is related to spleen qi deficiency, and liver-kidney depletion. This deficiency will result in malfunctioning of spleen, liver and kidney for transportation and transformation, and free coursing. Without the proper functioning, stagnation and obstruction of the breast collaterals will ultimately be developed and transformed into breast cancer .Restoration of healthy qi is an effective way to treat diseases and to prevent further progression. The use of qi-tonifying and spleen-fortifying herbs is to replenish the source of engendering transformation for qi and blood, and to achieve qi-tonifying, blood-replenishing and harmony of the five visceral functions. This is particularly essential for nourishing the liver and smoothing the qi movement. At the same time, spleen-strengthening and qi-replenishing herbs also have the functions for resolving dampness and dispelling phlegm. Therefore, the formulae prescribed herbs such as Huang Qi, Bai Zhu, and Fu Ling, among others.. From the association rules mining, the results showed that the combination of the herbs should also focus on the functions for qi-tonifying. The use of couplet herbs involving Huang Qi and Bai Zhu is to achieve the effects of spleen-strengthening and qi-replenishing, and dampness-drying and water-draining; the use of couplet herbs involving Bai Zhu and Tai Zi Shen is to achieve the effects of fluid-engendering and lung-moistening; the use of couplet herbs involving Bai Zhu and Fu Ling is to achieve the effects of dampness-resolving. The effectiveness of these tonifying and replenishing herbs on tumor resistance and immunity enhancement has also been proven by clinical studies ,31.The results showed that recurrence and metastasis of breast cancer is considered to have a close relationship with liver dysfunctions. These prescriptions focus on the herbs for nourishing the yin-blood, and emolliating and regulating the liver. Strengthening of liver function seems to be the key to successful treatment. Meanwhile, the use of qi-tonifying and spleen-strengthening herbs also forms the basis of prescription patterns. It is also noteworthy that liver function is promoted by strengthening the spleen.The authors declare that they have no potential and competing interests.YH performed the study; JC was in charge of the study work, advice in the study design and modified in manuscript writing.XZ, CS, ZW, TX, BJ, QY and KT equally conducted and performed the study. LC and WTYL gave expert advice in the study design and participated in manuscript writing."}
+{"text": "To develop an empirically-based framework of the aspects of randomised controlled trials addressed by qualitative research.Systematic mapping review of qualitative research undertaken with randomised controlled trials and published in peer-reviewed journals.Medline, Premedline, Embase, The Cochrane Library, Health Technology Assessment, PsychINFO, CINAHL, British Nursing Index, Social Sciences Citation Index and ASSIA.Articles reporting qualitative research undertaken with trials published between 2008 and September 2010; health research; reported in English.296 articles met the inclusion criteria. They had a wide international authorship. Articles focused on 22 aspects of the trial within five broad categories. Some articles focused on more than one aspect of the trial, totalling 356 examples. The qualitative research focused on the intervention being trialled ; the design, process and conduct of the trial ; the outcomes of the trial ; the measures used in the trial ; and the target condition for the trial . A minority of the qualitative research was undertaken at the pre-trial stage .A large amount of qualitative research undertaken with specific trials has been published, addressing a wide range of aspects of trials, with the potential to improve the endeavour of generating evidence of effectiveness of health interventions. Researchers can increase the impact of this work on trials by undertaking more of it at the pre-trial stage and being explicit within their articles about the learning for trials and evidence-based practice."}
+{"text": "ST among populations, testing population differentiation, and performing principal component analysis (PCA) and correspondence analysis (CA). All analyses revealed a low but significant differentiation between the Amami Islanders and the mainland Japanese population. Furthermore, we examined the genetic differentiation between the mainland population, Amami Islanders and Okinawa Islanders using six loci included in both the Pan-Asian SNP (PASNP) consortium data and the J-MICC data. This analysis revealed that the Amami and Okinawa Islanders were differentiated from the mainland population. In conclusion, we revealed a low but significant level of genetic differentiation between the mainland population and populations in or to the south of the Amami Islands, although genetic variation between both populations might be clinal. Therefore, the possibility of population stratification must be considered when enrolling the islander population of this area, such as in the J-MICC study.Uncovering population structure is important for properly conducting association studies and for examining the demographic history of a population. Here, we examined the Japanese population substructure using data from the Japan Multi-Institutional Collaborative Cohort (J-MICC), which covers all but the northern region of Japan. Using 222 autosomal loci from 4502 subjects, we investigated population substructure by estimating F Uncovering population structure is a crucial step in properly conducting association studies because neglecting to correct for population structure can lead to both false positive results and failures to detect genuine associations It is generally accepted that the modern Japanese population was formed by the mixture of two major ancestral groups who came to Japan by different routes at different times. The mainland population of Japan shows genetic influences from both groups but appears to be predominantly descended from the second ancestral group, whereas two contemporary indigenous groups in Japan, the Ainu and Ryukyu peoples, are recognized as remnant populations descended from the first ancestral group A previous study of the Japanese population substructure, based on genome-wide association study (GWAS) data, revealed the clear differentiation between the Ryukyu and mainland populations and partially confirmed the dual structure hypothesis described above Therefore, the aim of this study is to examine the genetic differentiation between the Amami Islanders and other Japanese subpopulations . For thiGenotype data were obtained from 4514 Japanese subjects in the J-MICC study, which is one of the largest population-based cohort studies in Japan In addition to the J-MICC data, the Pan-Asian SNP (PASNP) consortium genotype data The ethics committees of all participating institutions approved the protocol for the J-MICC study, and all participants provided written informed consent.The participating institutions included:Division of Cancer Registry, Prevention and Epidemiology, Chiba Cancer Center, Chiba, Japan,Department of Preventive Medicine, Nagoya University Graduate School of Medicine, Nagoya, JapanDivision of Epidemiology and Prevention, Aichi Cancer Center Research Institute, Nagoya, Japan,Department of Public Health, Nagoya City University Graduate School of Medicine, Nagoya, Japan,Department of Health Science, Shiga University of Medical Science, Otsu, Japan,Department of Epidemiology for Community Health and Medicine, Kyoto, Japan,Prefectural University of Medicine Graduate School of Medical Science, Kyoto, Japan,Department of Preventive Medicine, Institute of Health Biosciences, University of Tokushima Graduate School, Tokushima, Japan,Department of Preventive Medicine, Graduate School of Medical Sciences, Kyushu University, Fukuoka, Japan,Department of Preventive Medicine, Faculty of Medicine, Saga University, Saga, Japan,Department of International Island and Community Medicine, Kagoshima University Graduate School of Medical and Dental Sciences, Kagoshima, Japan andLaboratory for Genotyping Development, Center for Genomic Medicine, RIKENThe J-MICC data: All genotypes were determined using the multiplex PCR-based Invader assay at the Laboratory for Genotyping Development, Center for Genomic Medicine, RIKEN 2>0.5; 52SNPs) were excluded from the data set. The remaining polymorphisms had call rates of >90% and were not excluded. Subjects with a call rate less than 90% (12 subjects) were excluded. Thus, the final data set for further analyses consisted of 221 autosomal SNPs and one autosomal indel for 4502 subjects originally designed for association studies subjects .The PASNP data: We also used all 54794 autosomal SNP genotypes available in the PASNP data. After applying the same filtering procedures used for the J-MICC data to the PASNP data, 46485 SNPs remained. Of these SNPs, only six were contained in the J-MICC data; thus, these SNPs were used for comparison between populations of the mainland, Amami Islands and Okinawa Islands.Data filtering, the calculation of basic summary statistics, and Hardy-Weinberg equilibrium (HWE) tests were performed with the R package SNPassoc STST estimates were averaged over all loci, and 95% confidence intervals (CIs) of the average FST were calculated by bootstrap resampling with 10000 replications. We used this computational method so that this study would be comparable with that of Yamaguchi-Kabata et al.ST over all loci was also estimated as the ratio of sums of the variance components in the numerator and denominator ST, variance components were estimated to reflect intra-individual, inter-individual and inter-population differences in genetic variation.To measure the differentiation between populations, the widely used statistic FTo test for differentiation between two populations based on multiple loci, Goudet's G statistic was used with 10000 permutations of individuals between populations principal components.A principal component analysis (PCA) was performed to visualize the relationship between populations; this type of analysis summarizes information for multiple loci into a few synthetic variables called For the same purpose, correspondence analysis (CA) was performed on a contingency table of minor allele counts per population. Importantly, as in any analysis carried out at a population level, all information about the diversity within populations is lost in this analysis. In contrast, PCA was performed at the individual level and not at the population level.ST estimations, variance component estimations and tests of population differentiation at multiple loci were all performed with the R package hierfstat FST over all loci and its 95% CI between each pair of subpopulations in the J-MICC data are shown in ST values between the Amami Islanders and other mainland Japanese subpopulations (0.0067\u20130.0086) were much larger than the FST values between mainland Japanese subpopulations (0.0001\u20130.0007).The average FST values for all loci; the resulting distribution is shown in ST and its 95% CI between the Amami Islanders and a population grouped across all subpopulations in the mainland. Once again, a substantially large FST value was observed . Furthermore, this genetic differentiation was statistically significant according to the G statistic (p<0.001) ST was estimated as the combined ratio estimate over all loci than the Amami Islanders are , and both Islanders groups are similar to each other . The difference in the p-values for comparisons of each Islanders group with the mainland population reflects the different sample sizes of the Islander populations (only 49 Okinawa Islanders vs. 515 Amami Islanders).Next, we examined the genetic differentiation between the mainland population, Amami Islanders and Okinawa Islanders using the same methods used for the J-MICC data. The average FST values with respect to the distance separation among the three groups.The variance component between both Islanders is 0.2%, which is about one order of magnitude less than that between the mainland population and either Islanders group ST value (\u22480.008) is slightly larger than that obtained in a previous study of the Japanese population substructure based on GWAS data (\u22480.003) In this study, a low but significant FAlthough we can separate the Amami Islanders and the mainland population using correspondence analysis (CA), we cannot separate the two groups using principal component analysis (PCA) because the number of polymorphisms (222 loci) used in this study is not large enough to classify individuals according to the two subpopulations. According to the study that first proposed regression to the principal components of the PCA to correct for population stratification Finally, it should be noted that the low coverage of study areas in this study might exaggerate the sharpness of the observed genetic boundary between the mainland population and the Amami Islanders, although the true pattern of genetic variation might be clinal. Therefore, we think that it is necessary for further studies to include individuals from the southernmost mainland part of Japan (southern Kyushu) and a few other islands between the Amami Islands and the mainland.In conclusion, we have revealed a low but significant level of genetic differentiation between the mainland population and population in or to the south of the Amami Islands, including the Okinawa Islands, although the genetic variation between both populations might be clinal. Therefore, the possibility of population stratification must be considered when enrolling the islander population of this area, such as in the J-MICC study.Figure S1ST values per locusbetween the Amami Islanders and the mainland population (JPEG).Empirical distribution of F(TIF)Click here for additional data file.Figure S2Empirical distribution of heterozygosity per locus for the Amami Islanders and the mainland population (JPEG).(TIF)Click here for additional data file.Figure S3Scree plot of principal component analysis for the mainland population and the Amami Islanders in the J-MICC (JPEG).(TIF)Click here for additional data file.Figure S4Principal component analysis plot for the mainland population and the Amami Islanders in the J-MICC. (a) PCA plot of the first and second principal components, (b) PCA plot of the first and third principal components (JPEG).(TIF)Click here for additional data file.Figure S5Principal component analysis plot of the first and second principal components for the mainland population and the Okinawa Islanders in the PASNP data. Principal component analysis was conducted for the mainland population and the Okinawa Islanders in the PASNP data, using (a) all 46485 loci and (b) 5000, (c) 1000, (d) 900 and (e) 800 loci that were randomly selected from all loci. Scree plots are shown in each figure.(TIF)Click here for additional data file.Table S1(DOC)Click here for additional data file.Table S2(DOC)Click here for additional data file.Table S3(DOC)Click here for additional data file."}
+{"text": "The availability of fully sequenced genomes and the implementation of transcriptome technologies have increased the studies investigating the expression profiles for a variety of tissues, conditions, and species. In this study, using RNA-seq data for three distinct tissues , we investigate how base composition affects mammalian gene expression, an issue of prime practical and evolutionary interest.We present the transcriptome map of the mouse isochores (DNA segments with a fairly homogeneous base composition) for the three different tissues and the effects of isochores' base composition on their expression activity. Our analyses also cover the relations between the genes' expression activity and their localization in the isochore families.This study is the first where next-generation sequencing data are used to associate the effects of both genomic and genic compositional properties to their corresponding expression activity. Our findings confirm previous results, and further support the existence of a relationship between isochores and gene expression. This relationship corroborates that isochores are primarily a product of evolutionary adaptation rather than a simple by-product of neutral evolutionary processes. The genomes of vertebrates are mosaics of isochores, long regions that are fairly homogeneous in base composition. The isochores belong to a small group of families characterized by different GC levels -4. In thThe emergence of the isochores is an open debate of relevant evolutionary importance, where in addition to the selectionist model , other in silico compositional analysis of expression vectors and DNA carriers, showed that aside from the GC3 level (GC level in the third codon position) of the coding sequences, the genomic compositional context in which a gene is embedded affects its expression. Additionally, the Human Transcriptome Map (HTM), using SAGE data, revealed domains of highly and weakly expressed genes [Previous studies have investigated the effects of base composition on gene expression, both in human and mouse tissues, through an exhaustive use of expression data from techniques based on sequencing and/or hybridization -21, and ed genes , namely ed genes ,25. The ed genes ,27. In aed genes ,29. Nexted genes -32. Moreed genes -36. In ted genes in orderThe results of aligning each tissue's reads to the reference mouse genome and to the coding sequences are shown in Table GC > 53% -- marked with a vertical line in the red box in Figure Rbrain = 0.72, Rliver = 0.62, and Rmuscle = 0.65 -- see Additional file Additional file R = 0.42). Having shown the positive effect of high GC levels to the isochoric expression and between GC levels and gene density, we also looked into the direct relation between the gene density and the expression level of the individual isochores. We found a positive correlation, with similar coefficients for all tissues .It is well-known that in vertebrates, including the mouse, GC-richer isochores have higher gene densities compared to the GC-poorer ones (see the Background Section). This is confirmed by the positive linear correlation we found between the gene density of the isochores and their respective GC level , and we found a very strong preference for them to be located in the L2 family (over 50% of these genes), with decreasing presence in families of subsequently higher GC and genic compositional properties in gene expression, in the context of specific tissues or biological processes, and reveal valuable information on the implicated regulation mechanisms.To produce the transcriptome map of the isochores, we used publicly available RNA-seq data of three distinct mouse tissues , obtained in a recent study by Mortazavi et al using thlog2 of each normalized read count was calculated as a representation of the expression level. This is represented by Equation (1), where EL represents the expression level normalized over the length L of the isochore, Ri the read count of the isochore, Rt the read count of the tissue, and f the scaling factor.To investigate the expression levels of the mouse isochores, the aligned reads were assigned to the isochores containing their mapped location. The locations and GC-spans of the isochores were extracted from . To elimBecause the normalized counts are very small, the logarithm produces negative values, however, higher expression still corresponds to peaks. Details on the isochores' coordinates, GC levels, aligned reads, and expression levels, for each of the three tissues, can be found in Additional file D we denote the gene density of the isochore and by ED the isochoric expression normalized over the gene density, Equation (1) is modified as shown in Equation (2).As we report in the Results Section, the expression levels were also further normalized by the respective gene densities to account for the higher concentration of genes in isochores with higher GC level. If by To investigate the expression at gene level, the coding sequences for the mouse were retrieved from the Consensus Coding Sequence Database (CCDS) . From thECDS) was produced with Equation (3), where RCDS represents the count of aligned reads in the exons of each CDS, Similarly to the procedure followed for the expression levels of isochores, the expression level of a CDS and their respective expression levels (EL -- Equation (1)) for the brain, liver, and muscle tissues . High expression corresponds to peaks in the lines.Click here for fileCorrelations between GC level and expression activity of the isochores. The correlations between isochoric expression level ) and their GC. The red plot is for brain, the blue plot for liver, and the green one for muscle tissue.Click here for fileIsochoric expression levels for each tissue normalized over gene density. This table reports the name of each isochore, the GC level , the length , the number of genes (CDS-count), the gene density (GeneDensity -- number of genes within an isochore over its length), the count of aligned reads for each tissue , the ratio between the count of aligned reads for each tissue within each isochore over the total number of reads of that tissue , and finally the isochoric expression level normalized over the gene density (LogBr(GeneDens), LogLiv(GeneDens), and LogMusc(GeneDens)).Click here for fileDistribution of the coding sequences across the five isochore families. Within each isochore family, the % of the isochores containing at least one gene (grey bars) and of the isochores with no genes at all (light grey bars).Click here for fileDistribution of the expressed CDSs in the isochore families. For each tissue, the % of the expressed genes (in histogram -- upper panel) within each isochore and the corresponding count (in table format -- lower panel) using as expression threshold \u2265 10 aligned reads per gene. In the histogram, the red bars indicate the genes expressed in brain, the blue bars the genes expressed in liver, and the green ones in muscle.Click here for fileIsochoric expression levels for each tissue normalized over length. This table reports the name of each isochore, the GC level , length , the number of genes (CDS-count), the gene density (GeneDensity -- number of genes within an isochore over its length), the count of aligned reads within each isochore for each tissue , the ratio (%) between the count of aligned reads within each isochore for each tissue over the total number of reads of that tissue , and finally the global isochoric expression level normalized over the isochoric length (LogBr(Length), LogLiv(Length), and LogMusc(Length)).Click here for fileGenic expression levels for each tissue. This table reports the isochoric localization of each coding sequence. Specifically, the first column shows the chromosome, the second indicates the isochore in which the gene is embedded, followed by its GC level and the genomic coordinates (Start (Mb) and End (Mb)). Afterwards comes the id of each coding sequence, the genomic coordinates of the coding sequence (cds_from and cds_to), the level (GC_ccds), the GC3 (GC3_ccds), the length of the coding sequence (Length_ccds), and the count of aligned reads for each tissue within each coding sequence. The three last columns report the genic expression level for each tissue (LogBr(genic), LogLiv(genic), and LogMusc(genic)).Click here for file"}
+{"text": "Sir,Biceps brachii muscle (BB) is one of the most variable muscles in the human body in terms of the number and morphology of its heads. In contrIn this report, we present a rare case of bilateral hypoplasia of the long head of the BB found during the anatomical dissection of a 58-year-old female cadaver. In both arms, the most remarkable findings were the strange-looking long heads Figure \u2013b, compoAnomalies of the long head of the BB include absence, duplication, deficiency and various origins . Embryolo3The variations of the long head of the biceps tendon could also create diagnostic difficulty in MRI. However, awareness of their existence and MRI appearance can help prevent misdiagnosis, correct prospective MRI diagnosis and avoiding unnecessary surgery."}
+{"text": "The maintenance of highly regulated mechanisms to control intracellular levels of reactive oxygen species (ROS) is essential for normal cellular homeostasis. Indeed, most ROS, including free radicals and peroxides, are produced at low level by normal aerobic metabolism and play an important role in the redox-dependent regulation of many signaling processes. In contrast, excessive accumulation of ROS, resulting from an imbalance between ROS production and scavenging, leads to a condition of oxidative stress that can cause extensive oxidative damage to most cellular components, including proteins, lipids, and DNA, and may have pathophysiological consequences. Remarkably, oxidative stress has been clearly implicated in aging and the pathogenesis of several human diseases, including cardiovascular, metabolic, inflammatory, and neurodegenerative diseases and cancer. Thus, ROS may function as friends or foes of signal transduction depending on specific threshold levels and cell context.To highlight the important topics in this evolving field the Journal of Signal Transduction presents a special issue on the involvement of ROS in physiological and pathological signal transduction processes from prokaryotes to low and high eukaryotes.Neurospora crassa light signal transduction (in the second paper), the interplay between ROS and mitochondria in the control of cell death and aging (in the third and fourth papers) and cancer progression (in the fifth and sixth papers), the role of ROS in nuclear transport (in the seventh paper), the interplay between ROS and Ras GTPases (in the eighth paper), the role of ROS in the crosstalk between integrins and cadherins (in the ninth paper), integrin signaling (in the tenth paper), and skeletal muscle signaling (in the eleventh paper). These articles describe our current understanding of this field. Furthermore, this special issue highlights the importance of gaining a greater understanding of the physiological and pathological role of ROS in the perspective of defining new therapeutic strategies based on redox regulation of signal transduction processes.In particular, the topics covered in this special issue include ROS-mediated signaling in bacteria (in the first paper), the mechanisms by which ROS affect Saverio Francesco RettaSaverio Francesco RettaPaola ChiarugiPaola ChiarugiLorenza TrabalziniLorenza TrabalziniPaolo PintonPaolo PintonAlexey M. BelkinAlexey M. Belkin"}
+{"text": "The aim of the study was to investigate the effect of dietary supplementation with zinc and polyphenol compounds, i.e. resveratrol and genistein, on the effectiveness of chemically induced mammary cancer and the changes in the content of selected elements in tumors as compared with normal tissue of the mammary gland.Female Sprague-Dawley rats were divided into study groups which, apart from the standard diet and DMBA , were treated with zinc ions (Zn) or zinc ions + resveratrol (Zn + resveratrol) or zinc ions + genistein (Zn + genistein) via gavage for a period from 40 days until 20 weeks of age. The ICP-OES technique was used to analyze the following elements: magnesium, iron, zinc and calcium. Copper content in samples was estimated in an atomic absorption spectrophotometer.Regardless of the diet , DMBA-induced breast carcinogenesis was not inhibited. On the contrary, in the Zn + resveratrol supplemented group, tumorigenesis developed at a considerably faster rate. On the basis of quantitative analysis of selected elements we found - irrespectively of the diet applied - great accumulation of copper and iron, which are strongly prooxidative, with a simultaneous considerable decrease of the magnesium content in DMBA-induced mammary tumors. The combination of zinc supplementation with resveratrol resulted in particularly large differences in the amount of the investigated elements in tumors as compared with their content in normal tissue.Diet supplementation with zinc and polyphenol compounds, i.e. resveratrol and genistein had no effect on the decreased copper level in tumor tissue and inhibited mammary carcinogenesis in the rat. Irrespectively of the applied diet, the development of the neoplastic process in rats resulted in changes of the iron and magnesium content in the cancerous tissue in comparison with the healthy mammary tissue. The application of combined diet supplementation with zinc ions and resveratrol considerably promoted the rate of carcinogenesis and increased the number of DMBA-induced mammary tumors. DS planned, designed and carried out the experiment, AT coordinated the study. All authors read and approved the final manuscript."}
+{"text": "Increasing evidence indicates that miRNAs are essential in the development, diagnosis, treatment and prognosis of a variety of tumors. The utility of miRNAs as biomarkers for diagnosis and of target molecules for the treatment of cancers is increasingly being recognized. With the discovery of circulating miRNAs, a non-invasive approach for the diagnosis and treatment of cancer has been identified. This review summarizes the role of miRNAs in the development of different tumors, as well as a variety of other biological events. Moreover, this review focuses on analyzing the function and mechanism of gastric cancer-related miRNAs and investigates the importance of circulating miRNAs in gastric cancer, as well as their origin. Finally, this review lists a number of the problems that must be solved prior to miRNAs being used as reliable non-invasive tools for the diagnosis, treatment and prognosis of gastric cancer. The incidence of gastric cancer ranks fourth in males and fifth in females, while the mortality ranks third in males and fifth in females among all cancers worldwide . The incet al observed that in gastric cancer cell lines 17 miRNAs were upregulated and 146 miRNAs were downregulated compared with normal gastric mucosa (microRNAs (miRNAs) are becoming increasingly recognized as important in cancers, including gastric cancer. To date, >1,400 miRNAs have been described in humans . Yu et ac mucosa . miRNAs c mucosa . ConsequC. elegans in gastric cancer cells Determining the source of circulating miRNAs; ii) validating a classical pathway of circulating miRNA transmittance; iii) clarifying the mechanism of the action of various circulating miRNAs in gastric cancer; iv) determining how the circulating miRNAs in different stages of gastric cancer development are expressed and how miRNAs develop in this development process; v) highly specific and sensitive detection of miRNA pre- and post-operatively, as well as at various stages of gastric cancer; vi) clarifying the mechanism of synergy/antagonism of various circulating miRNAs in the occurrence and development of gastric cancer; and vii) determining the feasibility of certain miRNA target therapies at different stages of gastric cancer according to associated miRNA specificity."}
+{"text": "The classical concept of PTSD has been criticized for many reasons, including its cultural limitations and negligence of long-lasting changes to personality, which has been documented in cases of chronic interpersonal trauma. The concept of complex PTSD has addressed these shortcomings and specifies \u201calterations in self-perception\u201d as one of the characteristic changes in functioning following extreme and chronic trauma. Torture survivors and refugees are a population particularly affected by cumulative traumatization. The experience of torture comprises the deliberate and systematic devastation of values, beliefs, self-concept, and personality development. It has severe effects on the survivors\u2019 fundamental trust, self-identity, and attachment. Meanwhile, refugee trauma involves the long-term experience of discrimination, persecution, helplessness, and humiliation, which also has a significant impact on the individual's personal and collective identity. A number of studies and theories now exist, which describe the psychological effect of torture and refugee trauma on identity. However, the issue of torture and life in exile is generally discussed separately. The present research aims at integrating the two phenomena and focuses on the unique and combined effect that torture and refugee trauma has on the survivors\u2019 identity. The qualitative study comprises narrative in-depth interviews with refugee torture survivors and applies a psychoanalytic framework for interpreting the data."}
+{"text": "The safety of patients is not yet in the priorities of the health system in DRC despite the country is with Nigeria and Ethiopia, the head of the African countries that are at high risk of complications and maternal mortality against 1.34 10-4 in developed countries. Under these conditions, achieve the Millennium Development Goals to reduce by 2/3 of maternal mortality in 2015 is impossible, unless efforts are made in huge areas.To assess the proportion of hospital infections in maternal morbidity and mortality observed in the maternity Lubumbashi.Descriptive cross-sectional study conducted in two maternity second (10 deliveries / day) and third levels (30 births / day) of the city of Lubumbashi. The relevant parameters are maternal mortality, hospital hygiene, quality of care, performance of biomedical laboratories, supplies of antibiotics.It was noted:In terms of hygiene: sanitary conditions are deplorable with no water points, disinfectants, antiseptics or gloves (unarmed deliveries). In terms of patient safety: No respects procedures during blood transfusions, infusions, injections, often performed cesarean section without asepsis emergency. In epidemiological terms: maternal mortality rate higher in the maternity tertiary level, especially related to the intra-hospital infections after cesarean section despite a higher skill level.Improving patient safety in maternity services in DR Congo through the implementation of emergency measures post-crisis to address issues related to the disruption of the health system, the morale and training of health personnel, and the paucity of hospitals.None declared"}
+{"text": "The global supply of food has led to an increasingly connected planet, not only in terms of food products but also in terms of risks for foodborne diseases. The fourth edition of Morris and Potter\u2019s Foodborne Infections and Intoxications delivers an in-depth look at the global effects of foodborne illnesses, provides pathogen-specific information, and describes processes and policies intended to prevent these illnesses. The text is a well-written and well-referenced guide to foodborne illnesses, containing contributions from >70 experts in epidemiology and the basic sciences of foodborne diseases.The text has been organized into 6 sections. The first section describes the epidemiology of foodborne disease, highlighting the most common illnesses in the United States and abroad with country-specific data as well as the most common outbreak-associated foods and microbial risk assessment. The next 4 sections encompass microbe-specific illnesses; each section comprises chapters on specific pathogens. The sections are organized to include bacterial pathogens, viral pathogens, parasites , and agents involved with food intoxications. Each chapter is specific to a given pathogen and includes a clinical description of the disease, the microbiology of the pathogen, exposure risks, and disease prevention. Escherichia coli O104:H4 infections in northern Germany. This outbreak illustrates the importance of food safety and the critical role of public health officials, clinicians, and scientists in identifying new outbreaks and limiting the spread of newly identified illnesses. The final section of the book outlines prevention of foodborne diseases and discusses food safety and the legal basis for food safety regulation.Chapters have been written by leading researchers in their respective fields and are filled with up-to-date references on each pathogen. One example, in Chapter 8, includes a description of the 2011 outbreak of This edition of Foodborne Infections and Intoxications updates the third edition, published in 2006, with increased emphasis on global disease prevention and a risk-based approach to food safety. This text is particularly valuable for students and practitioners in the fields of public health and food safety. It can also serve as a useful reference for public health investigators and officials."}
+{"text": "This special issue of Nanoscale Research Letters contains scientific contributions presented at the International Conference \"Micro&Nano2010 - Special Symposium on Nanomaterials for sensing and energy harvesting devices\", which was held in Athens, Greece, from December 12-15, 2010.http://www.micro-nano.gr). The Conference aims at gathering together in an interactive forum scientists and engineers working in the challenging field of Microelectronics, Nanoelectronics, Nanotechnologies and MEMs and to stimulate discussions in last achievements and new developments in this rapidly evolving field. One of the key objectives of the Conference is to promote collaboration and partnership between different academia, research and industry players in the field. The Conference combines an extensive scientific programme, including oral and poster sessions, with an exhibition and social events.Micro&Nano2010 was the fourth of a series of Conferences on Microelectronics, Nanoelectronics, Nanotechnologies and MEMs held in Athens-Greece every three years and organized by the \"Micro&Nano\" Scientific Society (Within \"Micro&Nano2010\" a special Symposium was organized on nanomaterials for sensing and energy harvesting devices. A selected collection of papers of this Symposium are found in the present special issue. The full volume of the Proceedings, including micro- and nanomaterials, technologies and devices, will appear as a special issue of the journal \"Microelectronic Engineering\".The guest editor of this issue and Chairperson of \"Micro&Nano2010\"Androula G. NassiopoulouHead of the Nanostructures for Nanoelectronics, Photonics and Sensors Research groupTerma Patriarchou Grigoriou, Aghia Paraskevi153 10 Athens, GreecePresident of Micro&Nano Scientific SocietyDirector of Research, IMEL/NCSR Demokritose-mail: A.Nassiopoulou@imel.demokritos.gr"}
+{"text": "Graves' orbitopathy, despite of the results of recent researches concerning pathomechanism of the disease, is still a therapeutic challenge. Corticosteroids are the treatment of choice for active, moderate to severe Graves' orbitopathy.The aim of the study is to evaluate the effects of treatment of patients with GO with novel protocol of steroidotherapy designed and introduced in Department of Endocrinology, Metabolism and Internal Medicine. The management protocol consists of 3 g of methylprednisolone administered intravenously followed with methylprednisolone injected intramuscularly in divided doses every 3 weeks .The study group consisted of 50 patients. Assessment of efficacy of therapy was performed before and immediately after the therapy and 6 months later. Thyroid function parameters , titers of thyroid autoantibodies , thyroid volume (V) were analyzed. Moreover, ophthalmological findings and disease activity on magnetic resonance imaging of orbits were evaluated.The therapy significantly improved the degree of soft tissue involvement, CAS, diplopia and decreased the autoimmune disease activity in oculomotor muscles. Moreover, significant decrease of TRAb titer was observed.To conclude, novel protocol of glucocorticoid therapy is effective and safe."}
+{"text": "Nanoscale Research Letters features selected papers presented at the Symposium E: \"Nanoscaled Si, Ge based Materials\" of the EMRS Fall meeting, held in Warsaw, Poland from September 13-h16, 2010.This special volume of The symposium was organized by Fabrice Gourbilleau , Artur Podhorodecki and Nicola Daldosso . CNANO North West kindly sponsored the symposium.The goal of the symposium was to describe exciting, state-of- the- art applications of Si or Ge nanoparticle-based materials, doped or not with rare earth ions, in the fields of (i) information storage, (ii) optoelectronic devices, (iii) telecommunications, as well as (iv) life sciences. using the. The origin of such intense research activity in these different domains can be explained by the potential of Group IV nanostructures to lead to either (i) future chips with optical interconnects in which CMOS compatible electronic and photonic and/or biosensing components aree integrated or (ii) the future generation of solar cells with lower cost and/or higher efficiency.The four-day symposium included 13 sessions in which 48 oral and 18 poster presentations gave a comprehensive overview of progress toward a wide range of applications as well as the development of new promising techniques for microstructural investigations at the atomic scale. The papers published in this special volume have been selected after careful peer review, and form an authoritative reference for future applications.The organizers wish to thank the EMRS staff for their help in the organization of the symposium."}
+{"text": "Plasmodium falciparum malaria. ACT combines two effective antimalarial drugs and is the cornerstone of successful malaria control and ultimately, elimination. Fixed-dose combinations (FDC) of ACTs are preferred, as they promote adherence to treatment and reduce the risk of selecting for drug-resistant parasites.The World Health Organisation (WHO) currently recommends the use of five artemisinin-based combination therapies (ACTs) for the treatment of uncomplicated initiative (DNDi), together with the WHO Special Programme for Research and Training in Tropical Diseases (TDR), launched the FACT (Fixed Dose Artesunate Combination Therapy) project in 2002, with original funding from INCO/DEV. The FACT core group also included the Brazilian government-owned pharmaceutical company, Farmanguinhos/Fiocruz, the University of Bordeaux, Universiti Sains Malaysia, Mahidol University and the Shoklo Malaria Research Unit in Thailand, the Centre National de Recherche et de Formation sur le Paludisme in Burkina Faso and the University of Oxford, combining epidemiological and drug development expertise. Additional competencies in clinical studies, clinical supplies and regulatory matters strengthened the core team. Through innovative collaborations with this variety of partners, the FACT project delivered FDCs of Artesunate (AS) plus Amodiaquine (ASAQ), and AS plus Mefloquine (MQ). Key contributions in scale-up, industrial production and regulatory filing were still needed to make the products available to patients, and different strategies were set up for each product. Both strategies were based on an initial development within the public and not-for-profit sector, with an extension to the private sector when a viable product was available, for registration, production and distribution.In order to strengthen the ACT portfolio of FDCs, which at the time was minimal, the Drugs for Neglected Diseases Sanofi took over the last steps of industrial development and regulatory filing for ASAQ and the product was pre-qualified by WHO in 2008. Since then, ASAQ has been registered in over 30 countries, mostly in sub-Saharan Africa and over 120 million treatments have been delivered - making this the second most widely used ACT. Deployment was accompanied by a risk-management plan, together with an extensive training and educational programme developed by Sanofi. ASMQ FDC production was scaled up by Farmaguinhos/Fiocruz and registered in Brazil in 2008. A large intervention study involving over 23,000 patients was performed by the National Malaria Control Programme in Brazil showing the efficacy of the product in real-life conditions. Through a South-South technology transfer, ASMQ FDC production was transferred to the Indian pharmaceutical company Cipla to ensure availability in India and South East Asia. ASMQ FDC was registered in India in 2011 and in Malaysia in early 2012 and is under review for WHO prequalification.The FACT project demonstrates that alternative drug development strategies can make safe, affordable and sustainable treatments available to patients. Diverse partnerships gathering a wide range of expertise, from national programmes ensuring the most appropriate therapy is used in endemic areas to industrial partners for product implementation and wide distribution, were key to success. Both ASAQ and ASMQ FDCs are critical drugs for malaria control across Africa, Latin America and South East Asia."}
+{"text": "The purpose of this article is to reflect on the proceedings of the ALMA working session.In 2009 a total of 153,408 malaria deaths were reported in Africa. Eleven countries showed a reduction of more than 50% in either confirmed malaria cases or malaria admissions and deaths in recent years. However, many African countries are not on track to achieve the malaria component of the Millennium Development Goal (MDG) 6. The African Leaders Malaria Alliance (ALMA) working session at the 15Working methods of the session included speeches and statements by invited speakers and high-level panel discussions.The main bottlenecks identified related to the capacity of the health systems to deliver quality care and accessibility issues; need for strong, decentralized malaria-control programmes with linkages with other health and development sectors, the civil society and private sector entities; benefits of co-implementation of malaria control programmes with child survival or other public health interventions; systematic application of integrated promotive, preventive, diagnostic and case management interventions with full community participation; adapting approaches to local political, socio-cultural and administrative environments.The following prerequisites for success were identified: a clear vision and effective leadership of national malaria control programmes; high level political commitment to ensure adequate capacity in expertise, skill mix and number of managers, technicians and service providers; national ownership, intersectoral collaboration and accountability, as well as strong civil society and private sector involvement; functional epidemiological surveillance systems; and levering of African Union and regional economic communities to address the cross-border dimension of malaria control.It was agreed that countries needed to secure adequate domestic and external funding for sustained commitment to malaria elimination; strengthen national malaria control programmes in the context of broader health system strengthening; ensure free access to long-lasting insecticide treated nets and malaria diagnosis and treatment for vulnerable groups; strengthen human resource capacity at central, district and community levels; and establish strong logistics, information and surveillance systems.It is critically important for countries to have a clear vision and strategy for malaria elimination; effective leadership of national malaria control programmes; draw lessons from other African countries that have succeeded to dramatically reduce the burden of malaria; and sustain funding and ongoing interventions. Dr Gro Harlem Brundtland, the then Director-General of the World Health Organization (WHO), identified Roll Back Malaria (RBM) as a priority project of the renewed WHO and established it as such on 23 July 1998 [In September 2000 the UN added efforts to fight malaria to the Millennium Development Goals (MDGs) . The AfrAt the Abuja Summit in 2006 African Union Heads of State and Government called for universal access to HIV/AIDS, tuberculosis and malaria services by a united Africa by 2010 and for a long-term vision on malaria elimination .In 2008 the Global Malaria Action Plan was developed, and the malaria endemic countries developed road maps to scale up cost-effective interventions towards achieving the MDGs . This inIn September 2009 the 59th WHO Regional Committee for Africa adopted a resolution on Accelerated Malaria Control, Towards Elimination in the African Region, which calls for, among other actions, integration of malaria control in poverty reduction strategies and all national health and development plans and mobilization of local resources for sustainable implementation of the strategies .On 23 September 2009 His Excellency President Jakaya Kikwete of Tanzania, Past Chairman of the African Union, launched the African Leaders Malaria Alliance (ALMA) during the Sixty-fourth Session of the United Nations General Assembly . The purThe ALMA working session at the 15th African Union Summit in Kampala was held 25\u201326 July 2010 in the context of calls for increasing efforts to accelerate progress towards MDGs 4 , 5 and 6 and was in line with the theme of the Summit, \u2018Maternal, Infant and Child Health and Development in Africa\u2019. The session agenda was also well aligned with the issues discussed at the previous satellite session on health financing.The purpose of this article is to reflect on the proceedings of the ALMA working session.The session included speeches and statements by invited speakers and high-level panel discussions. It was chaired by His Excellency Jakaya Mrisho Kikwete, President of the United Republic of Tanzania. The panel comprised the host of the African Union Summit, President Yoweri Museveni of Uganda, President Robert Mugabe of Zimbabwe and ministers of health and officials from African Union Member States. Invited speakers included Mr Raymond G. Chambers, UN Secretary General's Special Envoy for Malaria; Mrs Asha-Rose Migiro, UN Deputy Secretary-General; Mrs. Obiageli Ezekwesili, World Bank Vice President for Africa; Professor Michel Kazatchkine, Executive Director of the Global Fund to Fight Aids, Tuberculosis, and Malaria (GFATM); Mr Kapembwa Simbao, Minister of Health of Zambia and Chairman of the Roll Back Malaria Partnership Board; Dr Luis Gomes Sambo, WHO Regional Director for Africa; and Mrs Johannah-Joy Phumaphi, Executive Secretary of ALMA.In his opening remarks, President Jakaya Mrisho Kikwete, stated : \u201cI see President Kikwete underlined two strategic goals: (i) to achieve universal mosquito net coverage by the end of 2010 and (ii) to eliminate preventable malaria deaths by 2015 by scaling up coverage of all other available interventions .He acknowledged that these were audacious goals, but with more than 680,000 African children dying each year from malaria, audacity was a moral imperative. He strongly advocated for malaria control as a step towards achieving MDGs 4 and 5 . As convener of ALMA, President Kikwete noted the tremendous contribution of the Global Fund to Fight AIDS, Tuberculosis and Malaria (GFATM) and the World Bank in helping to finance malaria control in Africa. He expressed ALMA support for the full replenishment of funding to both GFATM and the International Development Association of the World Bank.Finally, President Kikwete called upon African leaders, communities and partners to make a final push to reach universal coverage of interventions against malaria.The UN Secretary General Special Envoy for Malaria focused his statement on the need to achieve universal coverage with essential interventions to end preventable deaths due to malaria . He highThe UN Deputy Secretary-General, addressing the AU leaders, indicated that the fight against malaria was boosting women\u2019s and children\u2019s health . She appThe World Bank Vice President for Africa indicated that the World Bank was making investments in malaria control that would have returns both in terms of lives saved and well beyond the health sector . Those iThe Executive Director of GFATM presented recent evidence on the impact of GFATM supported national programmes in saving lives and contributing to health systems and development . He stroDr Luis G. Sambo informed the session that the African Region accounted for 85% of malaria episodes and 89% of malaria deaths worldwide . He remiDr Sambo reported that over the last decade, African countries had scaled up proven malaria interventions, which include vector control using long-lasting insecticide-treated nets ,20, indoDr Sambo highlighted the encouraging achievements of Botswana, Cape Verde, Eritrea, Namibia, Rwanda, Sao Tome and Principe, South Africa, Swaziland, Zambia and Zanzibar (Tanzania) in reducing the number of malaria cases by at least 50% between 2000 and 2008 . This suHe informed the meeting that some countries were contemplating the transition from sustained control to elimination of malaria owing to their very low malaria transmission levels and based on robust epidemiological evidence and feasibility assessments. Governments contemplating the pursuit of malaria elimination will need to secure adequate domestic and external funding for sustained commitment; strengthen national malaria control programmes in the context of broader health systems strengthening; strengthen human resource capacity at central, district and community levels; establish strong logistic, information and surveillance systems as well as early detection mechanisms for response to malaria epidemics and complex emergencies; and forge effective cross-border and trans national malaria control collaborative initiatives.According to Dr Sambo, the use of oral artemisinin monotherapy was a potential driver in emergence of resistant malaria parasites. In May 2007 the World Health Assembly adopted Resolution WHA60.18, which urged Member States to deploy recommended artemisinin-based combination therapies (ACTs) and withdraw oral artemisinin-based monotherapies. He informed the meeting that by July 2010, 30 countries in the African Region had taken regulatory measures to withdraw oral artemisinin-based monotherapies. He urged the remaining countries to urgently develop similar policies to stop the marketing of oral artemisinin-based monotherapies.Dr Sambo cited a study that estimated at US$ 3 billion per year Africa\u2019s need for global resources to attain international malaria control goals. Financial support to African countries for prevention and control of malaria totals approximately US$1.6 billion per year and comes from GFATM, the US President\u2019s Malaria Initiative (PMI), the World Bank Booster Programme for Malaria Control in Africa, the United Kingdom Department for International Development (DFID), Bill and Melinda Gates Foundation and other agencies and foundations. He indicated that based on the cost of an essential package of interventions, this support represents 53% of the estimated financial resources needed to reach global malaria control targets . He appeHe concluded by appealing to the Heads of State to foster leadership for improved intersectoral collaboration to eliminate malaria as a public health problem in Africa; increase domestic funding for malaria control and accelerate progress towards MDGs 4, 5 and 6; support viable initiatives for local production of quality medicines and other commodities; eliminate taxes and tariffs on antimalarials and other public health essential commodities; and ensure free access to malaria diagnosis and treatment for vulnerable groups such as children and pregnant women, in addition to universal access to long-lasting insecticide treated nets.Mrs Johannah-Joy Phumaphi reported on the ALMA call for immediate acceleration of procurement, shipment and distribution of malaria commodities . She expMrs Johannah-Joy Phumaphi expressed concern that the high tariffs on commodities, such as bed nets and antimalarial drugs, make them expensive and hamper access. She cited the latest data that indicated that only five African countries had completely eliminated these tariffs.In his remarks to ALMA, Mr Kapembwa Simbao, Minister of Health of Zambia , expressZimbabwe, Zambia, Rwanda, Nigeria, Mozambique, Kenya and Mauritius presented their experiences in scaling up of malaria control interventions, cross-border collaboration and malaria elimination challenges. These experiences revealed the link between malaria control and maternal and child health. The debate provided insights on the importance of implementing comprehensive programmes, including community involvement, the need to build adequate capacity for vector control, and the use of rapid diagnostic tests. The role of nongovernmental organizations (NGOs) and public-private partnerships was also covered. The innovative approaches highlighted included involvement of school children and teachers in Mozambique, building capacity of village health workers in Zimbabwe, fostering cross-border collaboration among Mozambique, Swaziland and South Africa, and establishing model health centres in Kenya. Mauritius talked on its efforts to prevent reintroduction of malaria by using active surveillance and enforcing travel health regulations.th October 2010, the ministers of health from the republics of Benin, Cameroon, Central African Republic, Chad, Equatorial Guinea, Niger and Nigeria met in Abuja and signed the Abuja Commitment on Cross-Border Public Health Issues. The countries represented agreed to establish a joint initiative that permits multi-sector involvement in prevention and control of multiple public health problems in participating countries; promote communities-based initiatives on information, education and communication for disease prevention and control; promote cross-border initiatives in early detection of epidemics and improvement of water supply, sanitation and hygiene; advocate for operationalization of the African Public Health Emergency Fund to support emergency and cross-border public health activities; strengthen National Disease Surveillance Systems and share information on cross border health issues; establish National Agency for Drug Control and inter-country multi-disciplinary committees to monitor the quality of medicines and the circulation of counterfeit medicines across borders; provide (on request) technical and logistics support to any of the participating countries in the management of public health emergencies; and appoint focal persons to constitute a committee to follow-up recommendations made in the inter-ministerial meeting [Cross-border collaboration is necessary for malaria control in Africa because of the large negative externalities involved. Elimination of malaria in one country will not be sustained if the neighbouring countries experience high transmission of malaria, as citizens mix freely along borders, re-introducing malaria through travel and migration. Cross-border mechanisms that could be leveraged for controlling malaria already exist in the African Region. There are two recent examples. First, on 18 meeting .th March 2011, the ministers of health of the Republic of Angola, Republic of Congo, Democratic Republic of Congo, Republic of Namibia and Republic of Zambia met in Lusaka and signed a Memorandum of Understanding (MOU) on Cross Border Public Health Issues. The MOU touches on progress towards achievement of health related MDGs; strengthening health systems to support cross border public health issues; prevention and control of cholera and other epidemic prone diseases; polio eradication; surveillance and international health regulations; fake and counterfeit medicines; and monitoring and evaluation of cross border public health issues. Such mechanisms can be used to mobilize domestic and external resources, design, implement, monitor and report on cross-border public health action against infectious diseases [Second, on 18diseases .The country presentations echoed the sentiment of the high-level panel that the burden of malaria should be addressed as a priority health, social and developmental issue and no longer as a fatality threat for Africa. The need of tackling vector, parasite and host factors in the context of specific environmental and climatic conditions also was highlighted during the debate. Speakers at the session emphasized the necessity of multi-pronged approaches as the way forward to sustain the gains in reduction of malaria morbidity and mortality. There was agreement that the old but still valid notion of the pathogenic malaria complex must remain at the core of malaria control and elimination strategies .The main bottlenecks identified by country representatives related to the capacity of the health systems to deliver quality care and to issues of ensuring universal access to diagnostic services and treatment. The participants unanimously agreed on the need for strong, decentralized malaria-control programmes with linkages with other health and development sectors, the civil society and private sector entities. Recent publications highlight the benefits of co-implementation of malaria control programmes with child survival or other public health interventions ,32-34. FHowever, it is important to acknowledge the challenges that have to be overcome in ensuring universal access to malaria prevention and control services; and getting people to use those services once access has been assured. The first challenge is to develop sustainable health financing mechanisms that assure free access to diagnosis, treatment and insecticide treated nets for the poor. Such mechanisms may entail a combination of social health insurance and tax funded health services. In addition, health development partners can complement government efforts by paying social health insurance premiums on behalf of the poor. Furthermore, partners can reinforce national governments capacities for providing free access for the poor through general budget support. The second challenge draws attention to the fact that even with free access, utilization may be a problem because non-financial barriers to use of diagnostic services and medication can be significant . The nonThe success mentioned above has been made possible by a number of enabling factors. First, existence of a clear vision and effective leadership contributed to improvement in the governance, stewardship and success of national malaria control programmes. Second, high level commitment has ensured relatively adequate capacity in expertise, skill mix and number of managers, technicians and service providers, including for community interventions and case management. Third, national ownership, intersectoral collaboration and accountability, as well as strong civil society and private sector involvement, are important attributes of well-performing malaria control programmes. Fourth, successful programmes have the capacity to adjust to the rapidly changing malaria epidemiology. Fifth, several regional initiatives initiated with the support of AU and regional economic communities contributed in addressing the cross-border dimension of malaria control.The panellist\u2019s emphasized countries that had achieved significant reductions in the malaria burden required support to undertake programme assessments to ensure sustained control and evidence-based transition to elimination of the disease. This requires in-depth programme reviews, strengthening of capacity for surveillance monitoring and evaluation and intensification of cross-border collaboration. It will entail contribution of research and research based institutions in the collection, analysis and dissemination of information for better control, adjustments, and policy guidance.The meeting was informed that the WHO regional framework for the acceleration of malaria control towards elimination and the guidelines on malaria elimination were available to guide the countries in planning, implementation, monitoring and evaluation of malaria programmes . Moreove\u2022 Securing adequate domestic and external funding for sustained commitment to malaria elimination;\u2022 Strengthening national malaria control programmes in the context of strengthening the broader health system;\u2022 Ensuring free access to malaria diagnosis and treatment for vulnerable groups such as children and pregnant women in addition to universal access to long-lasting insecticide treated nets;\u2022 Strengthening human resource capacity at central, district and community levels;\u2022 Establishing strong logistics, information and surveillance systems as well as early detection mechanisms for response to malaria epidemics and other public health threats.A number of conclusions emerged from the discussions. First, ALMA working sessions at the African Union Summit were critically important for sustaining the focus on accelerated malaria control and elimination vision and strategy in support of actions at the country level. Second, there is need for documenting and sharing lessons learnt from African countries that have succeeded to dramatically reduce the burden of malaria. Third, the achievements in some countries clearly indicate that the Abuja and MDG malaria targets are achievable if funding and ongoing interventions are sustained. Lastly, there was a strong indication that the next MDG summits will also offer a forum for strategic projections and consolidation of financing and implementation pledges ,51.ACTS: Artemisinin-based Combination Therapies; ALMA: African Leaders Malaria Alliance; GFATM: Global Fund to Fight AIDS, Tuberculosis and Malaria; MDG: Millennium Development Goal; NGO: Non-governmental Organization; UN: United Nations Organization; WHO: World Health Organization.The authors declare that they have no competing interests."}
+{"text": "As part of a Berlin-based research consortium on health in old age, the OMAHA study aims to develop a conceptual framework and a set of standardized instruments and indicators for continuous monitoring of multimorbidity and associated health care needs in the population 65 years and older.OMAHA is a longitudinal epidemiological study including a comprehensive assessment at baseline and at 12-month follow-up as well as brief intermediate telephone interviews at 6 and 18 months. In order to evaluate different sampling procedures and modes of data collection, the study is conducted in two different population-based samples of men and women aged 65 years and older. A geographically defined sample was recruited from an age and sex stratified random sample from the register of residents in Berlin-Mitte for assessment by face-to-face interview and examination. A larger nationwide sample was recruited for assessment by telephone interview among participants in previous German Telephone Health Surveys. In both cohorts, we successfully applied a multi-dimensional set of instruments to assess multimorbidity, functional disability in daily life, autonomy, quality of life (QoL), health care services utilization, personal and social resources as well as socio-demographic and biographical context variables. Response rates considerably varied between the Berlin and German OMAHA study cohorts (22.8% vs. 59.7%), whereas completeness of follow-up at month 12 was comparably high in both cohorts (82.9% vs. 81.2%).The OMAHA study offers a wide spectrum of data concerning health, functioning, social involvement, psychological well-being, and cognitive capacity in community-dwelling older people in Germany. Results from the study will add to methodological and content-specific discourses on human resources for maintaining quality of life and autonomy throughout old age, even in the face of multiple health complaints. Multimorbidity, e. g. the concurrent existence of multiple health problems in the same person, is a highly prevalent phenomenon in old age and of growing public health impact in aging societies -3. The tDue to methodological challenges and limited epidemiological data, the prevalence, patterns, determinants, correlates, and consequences of multimorbidity are not well researched ,6. A firAgainst this background, the Federal Ministry of Education and Research (BMBF) launched a long term research initiative on 'Health in Old Age'. A total of six research consortia qualified for an initial three-year funding period (2008-2010) to provide insight into the epidemiology and socioeconomic consequences of multimorbidity in older people in Germany . Among tThe population-based AMA subproject OMAHA aims to develop a conceptual framework and a set of standardized instruments and indicators for continuous monitoring of multimorbidity and associated health care needs in the population 65 years and above. Main specific goals are: (1) to develop an algorithm for the comprehensive assessment of multi- and comorbidity, (2) to analyze patterns, correlates, determinants, and consequences of multi- and comorbidity; (3) to evaluate an innovative instrument for preference-based QoL assessment among elders with multimorbidity; (4) to examine the effectiveness and efficiency of different recruitment strategies and to characterize difficult-to-reach subgroups of the population 65 years and older. We describe here the design, methods, study population, and data base of the OMAHA study.The OMAHA study is designed as a population-based longitudinal epidemiological study of multimorbidity in the population aged 65 years and older. With regard to methods applied for continuous nationwide health monitoring in Germany , the OMAThe study was approved by the local ethics committee at Charit\u00e9 - Universit\u00e4tsmedizin Berlin and conducted in compliance with data protection and privacy regulations as requested by the Federal and Berlin Offices for the Protection of Data. Study participants were informed in detail about the study objectives, interview and examination procedures as well as pseudonymized record keeping and subsequent data analysis. Persons participating in the personal interview and examination gave written informed consent prior to study inclusion. A subset also provided written permission to contact their family doctor for validation of specific self-reported medical conditions . Oral informed consent to study participation was obtained from participants in previous German health telephone surveys before conducting the OMAHA baseline CATI.For the Berlin OMAHA cohort, we drew an age and sex stratified random sample of 2000 men and women aged 65 years and older from the official register of residents in Berlin-Mitte as of July 15, 2008. All individuals of the population sample who were then verified as alive, still living in Berlin-Mitte and available during the study recruitment period were eligible for the study. Exclusion criteria were: death, permanent change of residence outside of Berlin-Mitte or to an unknown address, and continuous absence from Berlin during study recruitment period. Anticipating an overall response rate of about 20% and an overall proportion of unverifiable contacts of 5-10%, the total sample size was sufficiently large to achieve a study population of n = 300 for the main study and of n = 100 for preceding pre-test evaluation.To assure public support of the study, we communicated the study goals and logistics to members of the Berlin Medical Association via the official journal of the Berlin Medical Association and to community officials via telephone contacts.Individuals belonging to the main sample were initially contacted by post. The letters contained a brief description of the study, an invitation to participate, and a prepaid self-addressed envelope together with a return sheet to fill in telephone numbers, preferred contact times, and choice of home or study centre visit for the assessment. Participants were offered a small monetary incentive (\u20ac 10) plus reimbursement for travel expenses. Foreign nationals were offered a brief description of the study in seven different languages .In order to identify and further characterize persons who did not participate, we explicitly asked family members or caregivers to respond in case that an eligible person was not able to participate due to cognitive impairment or severe illness and to consent to proxy telephone interviews.Among persons who did not respond to the initial mailed invitation, we conducted a randomized controlled trial which evaluated the effectiveness and efficiency of three different intensified recruitment strategies: (a) personal visits, (b) telephone calls, or (c) mailed reminder letters including the initial invitation letter and enclosures. Statistical analysis of this comparative evaluation of recruitment strategies is completed and results are currently prepared for publication in a separate paper.German OMAHA cohort was recruited from a pool of persons who had previously participated in the German Telephone Health Surveys 2004 or 2006. Nationwide telephone health surveys have been conducted in Germany annually by the Robert Koch Institute since 2002/2003; sampling procedures and recruitment strategies have been previously described in detail [The n detail . In brien detail . This men detail ; 2682 won detail ). The maOf the total Berlin sample, 519 persons (26.0%) had initially been contacted for preceding pre-test evaluation, leaving a total of n = 1481 persons for the main study was drawn from the German Telephone Health Survey sample 2007 .N = 1552 participants in previous German Telephone Health Surveys 2004 and 2006 were selected for the OMAHA study potential consequences of multimorbidity, including impairment of body functions and frailty, autonomy, quality of life, and health care services utilization, (c) personal and social resources likely to modify the association between multimorbidity and outcome measures, (d) socio-demographic and biographical context variables.Within the conceptual framework depicted in Figure Selection of instruments was based on extensive literature review and feasibility pre-testing. Table multimorbidity is composed of two domains: (a) health status as assessed by self-reported physician-diagnosed health conditions, history of surgical procedures, history of fractures past age 50 years, medication use within 7 days prior to the interview, and standardized measures (Berlin cohort only) of height, weight, waist and calf circumference, and blood pressure; (b) self-reported current symptoms and complaints including sensory limitations (vision and hearing problems), urinary and faecal incontinence, constipation, back pain, and joint complaints. Overall, 31 specific health conditions were covered in the CAPI and CATI following a standardized sequence of questions on first and last time of occurrence of symptoms, medical treatment within the past 12 months, and perceived level of condition specific limitation in daily life was assured by scanning the original containers brought to the examination site for that purpose. All drugs were automatically coded by an underlying software system to the WHO-ATC system. Details on medication use also included self-reported indications, form of administration, frequency of intake, origin of the medicine, and duration of use.Autonomy is conceptualized twofold as (a) absence of disability in daily life and dependence on care, and (b) perceived self-determination. Disability and dependence on care were assessed by standardized CAPI or CATI, covering questions on limitations in activities of daily living , and everyday competence. Questions on subjective self-determination were covered in the self-administered questionnaire and are hence limited to the Berlin cohort.Quality of life comprises the following domains: self-rated health, subjective well-being and vitality, pain, health-related QoL, global life satisfaction, and preference-based quality of life. All of these except preference-based quality of life were assessed in both OMAHA cohorts by validated instruments via standardized interview (CAPI or CATI) or self-administered questionnaire. Preference-based QoL was assessed only in the Berlin cohort by the newly developed tool FLQM as part of the CAPI. Additional instruments to measure global life satisfaction and subjective well-being were administered in the Berlin cohort only.Resources can roughly be divided into personal, social and organizational resources. As facets of personal resources, individual health-related behaviours , educational status, and income as well as housing and environment were assessed in both OMAHA cohorts by standardized self-administered questionnaire or CATI. Proactive coping as another important personal resource was assessed by the Proactive Coping Inventory (PCI) via self-administered questionnaire in the Berlin cohort only, since the PCI is not suitable for administration via CATI. As part of the social resource domain, social contacts were assessed in both OMAHA cohorts by the same validated instrument (MILVA). In lack of a validated instrument for administration by CATI, the assessment of subjective social support (by BSSS) was restricted to the Berlin OMAHA cohort. Organizational resources assessed were health insurance, family doctor, housing and environment, and nursing care level within the German healthcare system. Additional context variables covered age, critical life events, and migration background.Due to the exploratory nature of the study and the multiplicity of outcomes, no power calculation was considered.A statistician supervised, validated, and where necessary corrected the data throughout the process of data-collection. Cleaned final data sets were provided by the statistician within less than 6 months after the completion of data collection. A detailed documentation of the process was continuously accessible to the research team.To achieve a high degree of standardization in the survey, the study nurses for personal interviews (CAPI) were initially trained and continuously supervised. Additional training sessions took place before the 12-months follow-up. Telephone interviewers were highly experienced in carrying out telephone health surveys and received specific training before the baseline interview as well as before the 6-month and 12-month follow-up interviews. Standard operation procedures (SOPs) were supplied for all parts of the computer-assisted interviews (CAPI and CATI), functional assessments, and anthropometric measurements. Quality standards and requirements for internal quality control were developed according to recognized epidemiological guidelines and standards applied in German Health Interview and Examination Surveys .The OMAHA project is a longitudinal epidemiological study in two population-based cohorts of older people aged 65 years or older using different methods of data collection. In the urban cohort (Berlin cohort), an age- and sex-stratified sample of residents of an inner-city district of Berlin was assessed by face-to-face interviews, self-administered questionnaires and measurement of physical functions and body measures. In the nationwide cohort (German cohort), participants of former German Health Telephone Surveys were assessed by telephone interview.Our research is focused on the development of a comprehensive assessment of multi- and comorbidity and the analysis of patterns, correlates, determinants, and consequences of these. Also, an innovative instrument for preference-based QoL assessment among elders suffering from multimorbidity will be evaluated. On the methodological level, we examine the effectiveness and efficiency of different recruitment strategies and will characterize difficult-to-reach subgroups of the population 65 years and older. Data collection comprises four waves in each of the two cohorts: two more extensive waves at baseline and 12-month follow-up, and two very brief waves at months 6 and 18 from baseline assessment. This opens up a wide range of opportunities for analyses on trajectories of health states, longitudinal relationships of outcome determinants, and, most importantly, causal relationships between conditions and trajectories over a period of 18 months.The parallel application of instruments in the two cohorts and modes of administration (CAPI and CATI) will on the one hand allow us to identify those tools that are most suitable for telephone administration. On the other hand, we will also be able to make comparisons between the urban Berlin cohort and the nationwide cohort with respect to selected variables cross-sectionally as well as longitudinally. The wide variety of measures relating to similar constructs allows us to soundly determine the psychometric properties of adaptations and new developments for geriatric and gerontological assessments in older age groups. After the completion of analyses relating to validity and reliability of (1) adaptations of existing measurement tools and (2) the newly developed quality of life assessment tool (FLQM) we will be able to provide a wide-ranged set of instruments and tools for personal and telephone assessment in population-based health surveys.Clearly, the samples are subject to selective inclusion. Within the Berlin cohort, there were considerable differences in sample structure with respect to different major sub-populations, such as migrants or people living in nursing-homes and socio-economically deprived areas. In addition to the specified sub-populations, people suffering from dementia or cognitive impairment and those who are heavily restricted in their sensory capacity are not likely to be adequately represented in both cohorts. Because determining barriers and evaluating recruitment strategies are among our goals, we did not expect the participating sample to be representative. In contrast, analyses of the effectiveness and efficiency of the three different recruitment strategies in the Berlin cohort and detailed analysis of participant/non-participant characteristics in both cohorts will enable us to derive strategies on how to get better access to, and response from, these groups. In future studies, a strategy of oversampling underrepresented, yet notably prevalent and politically important groups could serve as one means to minimize selection bias.OMAHA offers a wide spectrum of data related to health, functioning, social involvement, psychological well-being, and cognitive capacity throughout old age in Germany, opening up new opportunities for further gerontological and geriatric research. Results from the study will add to methodological as well as content-specific discourses on human resources for maintaining high levels of autonomy and quality of life in old age, even in the face of multiple health burdens and morbidity.The authors declare that they have no competing interests.MH and CSN conceptualized and supervised the study, analyzed the data and wrote the final manuscript. JF, MB and PM conceptualized and supervised the study, analyzed the data and made substantial contributions to the writing of the final manuscript. JWelke, JSM, HK, UH assisted in the conceptualization of the study, provided specific knowledge, made substantial contributions to the acquisition and quality assurance of the data and contributed to the final manuscript. RD, NS, IKS, JWiskott provided specific knowledge, made substantial contributions to the acquisition and quality assurance of the data and contributed to the final manuscript. AE assisted in the conceptualization of the study, analyzed the data and contributed to the final manuscript. BG analyzed the data and contributed to the final manuscript. MW made substantial contributions to the acquisition and quality assurance of the data and contributed to the final manuscript.The pre-publication history for this paper can be accessed here:http://www.biomedcentral.com/1472-6963/11/47/prepub"}
+{"text": "MLH1, 206 MSH2, 39 MSH6, 26 PMS2). Carriers of mutations in these genes are at high risk of colorectal, endometrial and other cancers.Literature on the ethics of returning research-generated genetic results to research participants has not reported on the practical experience of this activity. The Colon Cancer Family Registry (Colon CFR) has recruited participants from the US, Canada, Australia and New Zealand. Colon CFR-wide molecular testing has identified deleterious germline mutations in a DNA mismatch repair (MMR) gene for members of 424 families (see Table The variation in uptake of genetic information could be related to the variation in the potential for insurance discrimination and/or the differences in the cost to consumers of genetic testing in the research and clinic setting.The return of genetic results and collection of uptake data has provided valuable information about the translation of these research findings and has led to translational research proposals. Delivering research-generated genetic results in the research setting, especially when sampling is population-based, provides both challenges and opportunities."}
+{"text": "Leptospirosis is a tropical neglected disease that is highly under-diagnosed and under-reported, mostly because of a lack of diagnosis capacity. The Institut Pasteur International Network includes researchers and physicians that have a recognized expertise in the field of leptospirosis epidemiology and diagnosis. Taking advantage of this international and widespread network of expertise, we currently aim at implementing the diagnosis of leptospirosis in institutes, countries or regions where it was not available. With the financial support of the Institut Pasteur International Network, biologists and researchers from French Guyana, Cameroon, Guadeloupe (West Indies), Cote d\u2019Ivoire, Cambodia, New Caledonia and France currently work at implementing and inter-calibrating leptospirosis diagnosis in their respective institutes.Leptospira spp., the early diagnosis of leptospirosis increasingly relies on PCR. Using its own molecular platform and expertise, each institute implements the PCR or qPCR method of its choice for the detection of pathogenic Leptospira spp. Common Leptospira suspensions are shared to commonly evaluate the sensitivity of the PCR assays.Because of very slow and delicate culture of The serological reference method uses the Micro Agglutination Test (MAT), a method that requires continuous culture of live leptospires and experienced staff for interpretation. Therefore, commercially available serological tests (Elisa for the detection of anti-Leptospira IgM) are used as a first diagnosis approach. The French National Reference Center then validates the results and identifies the infecting serogroup using a reference MAT panel.These diagnostic tools are then offered to patients hospitalized with predefined leptospirosis-like symptoms, as a way to (re-) evaluate the contribution of leptospirosis to non-malarial febrile illnesses in these countries and regions.The global architecture and goals of our Lepto-network will be presented, together with epidemiological research perspectives using the tools and expertise developed through this network."}
+{"text": "They function in metabolic processes, signal transduction, transport of small molecules and polymers across endo- and plasma membranes, and inter-compartmental trafficking of proteins, lipids, and cell wall components. During these highly integrative processes, dynamic interactions of membrane proteins with other membrane or soluble components are thought to provide a high degree of flexibility that usually characterizes higher plants. This concept is supported by the recent release of a first, partial Arabidopsis interactome by the Arabidopsis Interactome Mapping Consortium [Frontiers in Plant Transport and Traffic and Frontiers in Plant Physiology reflects well this outcome of the Arabidopsis Interactome Mapping Consortium. It embraces outstanding current research efforts with a series of reviews and original papers that highlight conserved and plant-specific mechanisms of post-Golgi trafficking, exocytosis and endocytosis and the role of the actin cytoskeleton from an evolutionary perspective. This research topic is comprised of reviews on PILS and AUX/LAX transmembrane auxin carriers and reviews, original articles, and hypothesis and theory articles on plant channels, including potassium channels, slow and quick anion channels, and glutamate receptors. This research topic concludes with an integrated view on how membranes shape plant nodulation and Arbuscular mycorrhizae.With no surprise, this current research topic co-hosted by As such, this research topic is a timely update presenting advances in research in the evolution of membrane signaling and trafficking in plants, encompassed of outstanding contributions that address fundamental questions in these essential processes in plants."}
+{"text": "The development of vaccines is one of the most important public health achievements. However, as the incidence of vaccine-preventable diseases has decreased, the general public has become increasingly concerned about vaccine safety. Vaccine safety is evaluated extensively through animal safety studies, clinical trials, and post-licensure surveillance. Safety monitoring in post-licensure surveillance has relied mainly on passive reporting systems such as the Vaccine Adverse Event Reporting System in the United States and epidemiological studies.Vaccine safety profiles cannot necessarily be generalized to developing countries, where the incidence, type and severity of serious adverse events may differ significantly because of local environmental and genetic influences. With thThe recent and novel use of YF vaccine for preventative mass vaccination campaigns in sub-Saharan Africa has increased the urgency of establishing functional PV systems. Between 2006 and 2013, the YFI will distribute vaccines to residents of high-risk areas in 12 West and Central African countries. A condition of funding from the GAVI Alliance is the implementation of AEFI surveillance. To address this requirement, AMP and WHO have provided technical support, including the development of surveillance tools , the introduction of active case finding methods, and the creation and training of national expert committees to review and classify suspected serious AEFIs. Reference laboratories, including the Institut Pasteur in Cameroon, and the Robert Koch Institute in Germany provided diagnostic test results to facilitate the YF AEFI classification process. Best practices have been shared between different countries and African-based consultants have been trained to become local experts. Their expertise is now being requested for AEFI surveillance of additional vaccines such as the serogroup A meningococcal conjugate vaccine."}
+{"text": "An additional interesting fact is that miRNAs are highly developmental stage-, tissue- and cell-specific, even in adjacent cell types, and mean abundance of these individual species may fluctuate as do the levels of transcription factors which regulate pre-miRNA transcription , and the biological actions of these ribonucleotide entities in the developing, aging, and pathological human central nervous system (CNS) has opened a novel and fascinating vista into our appreciation of human brain epigenetics, the role of sncRNAs on homeostatic and pathogenic gene control, and the potential role of single stranded, 22&nt signals in shaping the transcriptome of the human CNS (Lukiw et al., s Lukiw, . Table 1convergence, and conversely, a single miRNA may interact with multiple mRNAs in a regulatory process known as miRNA divergence (Lukiw and Alexandrov, Another poorly understood layer of complexity in miRNA signaling is that several miRNAs may regulate a single mRNA in a neurogenetic control process known as miRNA"}
+{"text": "This Editorial announces a new section in the Journal of Translational Medicine: Patient-Targeted Molecular Therapies. This section is dedicated to the dissemination of targeted molecular therapies in context of patient-centered outcomes research and evidence-based clinical decisions. The focus on patient-targeted molecular therapies \u2013 spanning small molecules and biomolecules alike \u2013 stems from the unprecedented growth in this arena. This is consonant with the overall objective of the Journal of Translational Medicine, which seeks out to expand firmly to other vast areas of medicine in the domain of translational science, viewed here as the transaction between translational research and translational effectiveness. As we inaugurate this new section in Journal of Translational Medicine, with its mission described in detail in this Editorial, we invite interested scientists to submit their work for publication. Analyses of current limitations and deficiencies in health care in the context of the Affordable care Act, signed into law by President Obama in March 2010 [There has been unparalleled and continuous progress in research and development in broad areas of molecular medicine resulting in novel platform technologies, drugs, biomolecules and companion diagnostics on the market and in development. Additionally, post-approval testing of novel medicines or therapeutic combinatorial modalities with the aim to improve the standard of care has been a steady continuous source of information with impact to the healthcare. Key to these advances is the dynamism of this process, and the magnitude and complexity of resulting informational output, warranting iterative application of appropriate research and evaluation tools across entire domains of medicine, to identify and promote standard of care or outline state of the art.Therefore, innovative models of evidence-based patient-centered molecular-targeted interventions are timely and critical. Evidence-based medicine/dentistry/nursing, through the process of comparative efficacy and effectiveness research and review for clinical practice (CEERAP) pursues the identification of the best available evidence gained from the scientific method to clinical decision-making ,3. CEERAPatient-Targeted Molecular Therapies, which is dedicated to the dissemination of targeted molecular therapies in the context of patient-centered outcomes research and evidence-based clinical decisions. Therefore, the focus on patient-targeted molecular therapies \u2013 spanning small molecules and biomolecules alike \u2013 stems from the unprecedented growth in this arena, fueled by scientific progress in understanding the molecular pathogenesis of disease.In response to this urgency, the Journal of Translational Medicine now inaugurates a new section, entitled Patient-Targeted Molecular Therapies provides avenues for the discussion of translational effectiveness pertaining to diverse therapeutic areas including inflammation, degenerative disorders, cancer, infection, metabolism, neurologic, cardiovascular to genetic disorders. The section considers pathologies that pertain to the micro-environment and local immunoregulation and epigenetics, as well as systems immunophysiology. The section addresses chronic and acute immune-related pathologies, from autoimmune disease, to HIV/AIDS, from immune deficiencies to osteo-immunopathology, from inborn errors of immune metabolism to psycho-neuroendocrine-immune pathologies. This section also considers non-immunological disorders, and conditions that are at the interface with immunopathology with both facets: the drug (or therapeutic intervention) and the companion biomarkers.The section Patient-Targeted Molecular Therapies will be complemented by an interest in prognostic and predictive biomarkers, as well as companion diagnostics as they are a critical tool in the assessment or application of molecular targeted therapeutics, and emphasize patient-targeted research for personalized medicine, now subsumed under the terminology \u201cpatient-centered outcomes research\u201d. As molecular targeted therapies \u2013 through an increased potential for clinical benefit and data-rich clinical design - carry the benefit of yielding informative data sets in individual patients during smaller trials in early development, a focus will be to outline emerging evidence of efficacy or toxicity for innovative drug candidates.The purpose of this new section is consonant with the overall objective of the Journal of Translational Medicine, which \u2013 with traditional and diligent interest in immune therapies - seeks out to expand firmly to other vast areas of medicine. This section on Patient-Targeted Molecular Therapies in Journal of Translational Medicine specifically addresses the best available evidence about the translational effectiveness of biomarkers-guided targeted molecular therapies of established medical and dental clinical conditions.In brief, as the informational output regarding more mature or approved molecular targeted therapies evolves across multiple development programs and studies, the specific content of this section will include research products in the form of systematic reviews, clinically relevant complex systematic reviews and meta-analyses. It will also include reviews of the best available evidence, in the form of critical evidence reviews and evidence-based policies. The scientific focus of this section on With this opening editorial, we announce and inaugurate this new section in Journal of Translational Medicine. We invite interested scientists to submit their work for publication."}
+{"text": "The liver responds to estrogens and growth hormone (GH) which are critical regulators of body growth, gender-related hepatic functions, and intermediate metabolism. The effects of estrogens on liver can be direct, through the direct actions of hepatic ER, or indirect, which include the crosstalk with endocrine, metabolic, and sex-differentiated functions of GH. Most previous studies have been focused on the influence of estrogens on pituitary GH secretion, which has a great impact on hepatic transcriptional regulation. However, there is strong evidence that estrogens can influence the GH-regulated endocrine and metabolic functions in the human liver by acting at the level of GHR-STAT5 signaling pathway. This crosstalk is relevant because the widespread exposition of estrogen or estrogen-related compounds in human. Therefore, GH or estrogen signaling deficiency as well as the influence of estrogens on GH biology can cause a dramatic impact in liver physiology during mammalian development and in adulthood. In this review, we will summarize the current status of the influence of estrogen on GH actions in liver. A better understanding of estrogen-GH interplay in liver will lead to improved therapy of children with growth disorders and of adults with GH deficiency. Growth hormone (GH) is the main regulator of somatic growth, metabolism, and gender dimorphism in liver , metabolic , and sex-differentiated functions in liver. The influence of estrogens is executed at the level of pituitary GH secretion and the regulation of GHR-JAK2-STAT5-SOCS signaling pathway. Therefore, the complex estrogen/GH interplay is relevant because physiological roles that these hormones have in mammals, and the widespread use of estrogen-related compounds. In the general population, the endocrine and metabolic consequences of long-term exposition to estrogens or novel estrogen-related compounds and their influence on the GH axis are largely unknown. Understanding this complex interaction in physiological and pathological states could contribute to prevent health damage and improve clinical management of patients with growth, developmental, and metabolic disorders.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Because of their evolving nature and inherent scientific uncertainties, outbreaks of emerging infectious diseases can be associated with considerable fear in the general public or in specific communities, especially when illness and deaths are substantial. Mitigating fear and discrimination directed toward persons infected with, and affected by, infectious disease can be important in controlling transmission. Persons who are feared and stigmatized may delay seeking care and remain in the community undetected. This article outlines efforts to rapidly assess, monitor, and address fears associated with the 2003 severe acute respiratory syndrome (SARS) epidemic in the United States. Although fear, stigmatization, and discrimination were not widespread in the general public, Asian-American communities were particularly affected. Public health strategies that deal with rapidly evolving disease outbreaks of new and emerging infectious diseases require a delicate balance between protecting the public\u2019s health and initiating exclusionary practices and treatments that can lead to fear and stigmatization of, and discrimination against, specific populations. The outbreak of severe acute respiratory syndrome (SARS) illustrates these difficulties. SARS spontaneously appeared in the southern province of Guangdong, People\u2019s Republic of China, in November 2002 at the Centers for Disease Control and Prevention (CDC) formed a 14-member, multidisciplinary NCID/SARS Community Outreach Team as part of its emergency response to the global SARS outbreak. While other NCID/CDC response teams dealt with laboratory investigations, surveillance, communication, and clinical infection control practices, the Community Outreach Team worked to implement rapid public health strategies to document, monitor, and assist in ameliorating specific problems associated with fear, stigmatization, and discrimination attributed to the SARS outbreak in the United States.In creating a rapid public health intervention to mitigate behaviors and practices associated with SARS-related fear, the team recognized the need to address the experiences of persons at greatest risk for experiencing SARS-related fear, stigma, and discrimination. The team monitored stigmatizing ideas and behaviors in the general population and the media, particularly toward Asian Americans, who were disproportionately reporting fear, stigmatization, and discrimination compared to the general public. The team began working with Asian-American communities to develop a culturally tailored intervention that 1) promoted community understanding of the facts related to the transmission and prevention of SARS; 2) contributed to the strengthening of community resiliency and capacity to mitigate fear, stigmatization, and discrimination; and 3) encouraged appropriate health-seeking behaviors for those who may have been exposed to SARS and were experiencing early symptoms. The team also worked to dispel myths; keep the general public better informed; prevent discrimination against SARS-affected communities; and provide guidance for institutions, agencies, and organizations hosting international visitors from SARS-affected countries.During the first 3 weeks of April 2003, the NCID/SARS Community Outreach Team conducted a rapid situational analysis to determine the impact of SARS-related fear, stigmatization, and discrimination within the Asian-American community in the United States. The team carried out the following activities: 1) facilitated group discussions with key opinion leaders within the Asian community in the United States; 2) collected and monitored the CDC Public Response Service data; 3) collected and monitored Asian-language newspapers, Internet sites, and other information sources; 4) reviewed polling data and other communication information; 5) conducted community visits, panel discussions, and media interviews; 6) solicited information from state and regional minority health liaisons nationwide; 7) developed ongoing relationships with the Asian-American communities; particularly in major metropolitan areas throughout the United States; and 8) determined new data-gathering strategies as needed.The team conducted group interviews through teleconferences with national, state, and local influential leaders in the Asian-American community throughout the United States. The team also conducted group interviews with Chambers of Commerce and trade association members, school officials and representatives, state public health department staff, academicians at universities, mental health professionals, and others. The 11 teleconferences the team conducted reached more than 70 persons who represented more than 50 agencies, organizations, and communities. The goals of the group interviews were the following: 1) determine the impact of SARS-related fear on the Asian community; 2) document examples of fear, stigmatization, and discrimination; 3) determine strategies for identifying and reaching \u201chidden populations\u201d; 4) develop partnerships with leaders and community members of the affected populations; 5) determine the needs of affected populations; and 6) respond appropriately to those needs through a targeted intervention with activities and Asian-language materials.Five major recommendations were derived from the facilitated group discussions with key informants: 1) develop simple, tailored SARS prevention messages; 2) develop SARS information materials in various Asian languages; 3) disseminate SARS information through multiple and culturally appropriate channels, including (but not limited to) community visits, town hall meetings, and health education and communication channels to complement mass media messages; 4) establish partnerships with local Asian-American community\u2013based organizations to educate the community; and 5) ensure that CDC would continue to provide leadership and coordination in preventing and controlling SARS. The relationships developed during these group discussions allowed team members to monitor and document ongoing stigmatizing situations related to the disease outbreak in real time and to deal more effectively with intentional and unintentional discrimination.CDC operates the Public Response Service (CDC PRS) under contract with the American Social Health Association. This contract provides hotline service to the general public requesting information via telephone and email about bioterrorism and other disease emergencies, including SARS. The NCID/SARS Community Outreach Team worked with the CDC PRS to track a daily sample of incoming SARS-related calls, specifically noting questions associated with fear, stigmatization, and discrimination directed toward the Asian-American community. This system allowed the team to help determine specific answers to frequently asked questions for hotline staff and to develop simple, prerecorded Asian-language messages. Passive data collection of SARS fear-related concerns began on April 29, 2003. During May 2003, 7,327 SARS-related calls were received; 4,013 (54.7%) of these calls were passively sampled. Of these sampled calls, an average of 10% of callers expressed concerns related to fear, stigmatization, and discrimination. A caller could express more than one concern. Major concerns included the following: fear of buying Asian merchandise ; working with Asians ; living near Asians ; going to school with Asians ; and more generic issus such as being on a cruise ship or airplane ; and church, school, or workplace issues . Most SARS calls related to transmission, symptoms, and treatment of disease and travel advisories.One critical component of the team\u2019s activities was determining where members of the Asian-American community were getting SARS-related information. Team members monitored English-language and Asian-language electronic, print, and television media coverage and informal chat rooms in the United States and other countries to stay abreast of changing information about the nature of the SARS outbreak that could influence fear, stigmatization, and discrimination. The assessment showed that many people within the Asian-American community were getting information from Asian-language newspapers, television, and Internet sites directly from China, Hong Kong, Taiwan, and other Asian areas\u2014usually hours ahead of information providers in the United States. The information provided by these Asian-language sources was often inconsistent with newspaper, television, and Internet coverage in the United States, thus creating fear and suspicion that the United States government might not be telling the truth about the outbreak in this country. Independent content-analysis research conducted by InterTrend Communications compared four of the most popular Chinese language newspapers in the United States with two popular national mainstream English-language newspapers from March 21 to April 3, 2003 advised other SARS emergency response teams on how to minimize the risk of stigmatizing groups in their own communications by focusing messages on the virus and the relevant behavioral risk factors; 2) assisted with developing culturally tailored health education materials; and 3) conducted community visits, panel discussions, and media interviews to positively influence negative behaviors occurring in communities. These visits and other contacts with the Asian-American community allowed CDC to develop ongoing relationships and helped the team determine new data-gathering strategies.During a disease outbreak, information changes rapidly as scientific evidence is collected and analyzed. Vital components of the team\u2019s activities were prioritizing and translating existing information and guidance documents and developing health education materials to address the specific needs of the Asian-American community. An in-house translation service did not exist, and the rapidly evolving scientific evidence challenged the turnaround time for developing, translating, and disseminating information. The team worked to identify priority documents for translation and to ensure Asian-language translation for Web and print products tailored to the Asian-American community. To ensure accurate translations, CDC contracted with professional translation services and had all documents back-translated. Web-based information on SARS included documents in traditional Chinese, simplified Chinese, Korean, Vietnamese, and Japanese, as well as French and Spanish. The team also created brief, recorded educational hotline messages in Chinese and Vietnamese. The main messages for people in the United States were the following: 1) the risk of SARS is low; 2) severe cases of SARS have been uncommon, and there have been no deaths in the United States; 3) methods for disease prevention in the general public are like those of other viral diseases; and 4) although no evidence of community spread currently exists, continued vigilance, aggressive case management, and infection control are needed.Team members conducted field visits to Asian communities in Boston; New York City; Oakland, California; San Francisco; Washington, D.C.; Edison, New Jersey; and Los Angeles to respond to the direct needs of the communities and gather information. The team met with community leaders, toured the communities, informally gathered further information, and gave community SARS presentations in seven cities, reaching approximately 500 persons. Through community visits, the team was able to 1) provide the latest in evidence-based information on SARS with Asian-language education materials; 2) dispel misconceptions, myths, and rumors; 3) act as a catalyst for bringing together a broad spectrum of organizations and persons in the community to create local networks to promote community resiliency; and 4) provide credibility and reassurance to those who felt vulnerable. Speakers also presented a public health model for mitigating fear, stigmatization, and discrimination that could be instituted by public health officials, clinicians, and community members. Through open discussion sessions and informal information gathering in the community, the team found that SARS-related stigmatization was occurring more frequently within the Asian community than from outsiders directed toward the Asian community. The team also found that those persons with SARS-like symptoms who used traditional herbal physicians and pharmacies were less likely to be referred to, or seek out, public health officials, suggesting that further research into strategies to reach this population is needed. Conducting community visits also showed that CDC was responding to the needs of the community at risk for SARS-related fear, stigmatization, and discrimination and was modeling positive behaviors to the public.Other infectious disease epidemics have been associated with specific ethnic groups. Fear, stigmatization, and discrimination plagued Russian Jewish immigrants when the 1892 outbreaks of typhus fever and cholera in New York City were traced to Russian Jewish immigrants from Eastern Europe (Protecting the health of the public while preventing stigmatization of segments of the population during a rapidly evolving disease outbreak is complex. The team\u2019s experience during the recent SARS outbreak demanded anticipatory insight, perceptive planning, and a rapid response to a targeted audience with specific cultural perspectives and influences. It also required us to recognize the distinctive features of SARS in a medical, social, and cultural context. Weiss states, \u201cPreventing fear and stigmatization depends on controlling or treating the target health problem, countering tendencies of those who stigmatize others, and supporting those who are stigmatized through emotional support and social policies\u201d (The data collected during the rapid situational assessment were critical in guiding activities of the team. Both the data and the data collection process assisted the team in establishing interpersonal relationships with community leaders, determining priority needs, identifying responsible intervention strategies, and developing effective communication channels. The team was able to better understand community perceptions and attitudes by identifying the communities\u2019 trusted sources of information. When conducting community visits, the team was able to address discordant information, myths, and rumors; provide simple Asian-language messages and materials; and act as a catalyst to build community resiliency and prepare for the possibility of future emerging diseases. The team was also able to keep CDC/NCID leaders informed and to intervene when they identified discriminatory policies, practices, and actions that were inconsistent with evidence-based public health recommendations and guidelines.Quelling fear-driven stigmatization and discrimination during the SARS outbreak required tailored intervention strategies carried out by the SARS Community Outreach Team. These activities complemented traditional risk communication for the general public. To be effective, behavioral intervention approaches, messages, and materials had to be salient for the affected population, in this case Asian-American communities within the United States. Further, these interventions aimed at promoting an accurate understanding of the epidemic both in the general population and within the affected community, that is, the dynamic nature of the outbreak and its cause, treatment options, and prevention strategies. Through interpersonal connections, the team members worked to promote reassurance and enhance community resiliency.Public health professionals must understand the necessary balance needed to protect the public\u2019s health with appropriate exclusionary practices, while at the same time preventing fear, stigmatization, and discrimination of specific segments of the population. As we prepare for the next new or reemerging disease outbreak, we should also be preparing to deal with the fear epidemic that will likely accompany it. By developing effective behavioral and health education strategies and providing timely attention to the special needs of affected populations, we can ensure that, no matter what the infectious disease, we can limit the associated epidemic of fear and stigmatization."}
+{"text": "One of the most significant features of healthcare-associated infections (HAIs) is the high frequency of multidrug-resistant bacterial strains (MDRBSs). Even modern chemical antimicrobials (CAMs) are not efficient enough; a totally different way of prevention of HAIs caused by MDRBSs is necessary.To develop a monobacteriophage (MBP)-based way of prevention of HAIs caused by MDRBSs.Pseudomonas aeruginosa (PA), methicillin-resistant Staphylococcus aureus (MRSA), Salmonella spp., Shigella spp., and Klebsiella spp. were sprayed on various surfaces in different healthcare settings (HCSs) in the case of spread of HAIs caused by these agents. We compared efficiency of MBPs on different surfaces and in different conditions of phage circulation. Finally, we assessed the influence of the MBPs on incidence and mortality of HAIs caused by MDRBSs. The efficiency of the MBPs was evaluated in the terms of absence of the target bacteria in the environment, that, in turn, was assessed by classical bacteriological methods.MBPs against Salmonella-caused infections, 4-fold reduction of incidence of Shigella-caused infections, and 2-fold decrease of incidence of Klebsiella- and MRSA-caused infections. Finally, CAMs did not influence the efficiency of MBPs, and no side effects were registered.Application of MBPs sprayed on surfaces in hospital environment is significantly more efficient method of elimination of MDRBSs compared to their usage by any other way. MBPs possessed greater efficiency on glass, metal, and plastic surfaces compared to textile and paper. Duration of MBP circulation was determined by time frame, MBP strain, and lytic activity of the MBP, but not by dose of MBP on the surface. The greatest effect was revealed against PA; even the single usage of MBP provided total elimination of PA from the hospital environment. The application of MBPs led to 15-fold decrease of incidence of The MBP-based way of prevention of HAIs caused by MDRBSs has certain advantages over CAMs. It may be used without limitations in different HCSs, particularly in intensive care units, it allows the efficient elimination of MDRBSs from the hospital environment in short terms, it provides termination of the outbreaks caused by MDRBSs, reduces the incidence and mortality from HAIs, and it is much cheaper compared to CAMs.None declared."}
+{"text": "After publication of this work , we noteThe authors declare that they have no competing interests.JvA was responsible for the conception and design of the study, researched data, and wrote the manuscript. HPH contributed to acquisition of data, discussion and reviewed/edited manuscript. MCRFvD contributed to acquisition of data and reviewed/edited manuscript. CPHL and ICCH coordinated inclusion of individuals with CAD and reviewed the manuscript. CJZ coordinated inclusion of individuals with PAD and reviewed the manuscript. MGV contributed to acquisition of data, discussion and reviewed/edited manuscript. BHRW coordinated inclusion of diabetic individuals and reviewed/edited the manuscript. HvG contributed to discussion and reviewed/edited manuscript. JLH was responsible for the conception and design of the study, researched data, contributed to discussion and reviewed/edited manuscript. All authors read and approved the final manuscript."}
+{"text": "Since the late 1990s, natural language processing (NLP) has seen a massive shift from high-precision, low-recall systems based on small sets of hand-written rules, to methods based on the statistical analysis of large corpora. The field of chemoinformatics, likewise, is dominated by statistical and machine-learning approaches. In recent years, however, pharmaceutical companies have been engaging more and more with Semantic Web technologies, which are largely built around the sorts of hand-written systems that NLP has moved away from this century. We discuss where our current text analysis and Semantic Web efforts at the Royal Society of Chemistry are headed and how we're making use of the unreasonable effectiveness of data."}
+{"text": "The total synthesis of natural products, a field of organic chemistry that is both historical and contemporary, has undoubtedly entered a new paradigm over the past decade with the advent of revolutionary new synthetic methods and innovative synthetic concepts. Putting aside the downstream applications of natural-product synthesis in the interrogation of biological processes, elucidation of biogenetic origins, structural assignments and many others, its fundamental and indispensable value as a vehicle for the discovery of new synthetic transformations is well-testified and unparalleled by any other research discipline over the history of chemical science. These transformations, largely concerning carbon\u2013carbon/carbon\u2013heteroatom bond formations, asymmetric induction, and catalysis, constantly expand the repertoire of powerful tools available at the organic chemist\u2019s disposal, and enable more challenging synthetic problems to be investigated. As such, this catalytic cycle of discovery fueled by natural-product synthesis continues to capture and captivate the imagination of both practitioners and students of organic chemistry around the world and will do so far beyond the foreseeable future. In particular, the recent discovery of novel transitional-metal complexes and their associated chemical transformations, and rediscovery of the unprecedented reactivity of previously documented transition-metal complexes with subtle changes in the reaction conditions and the reacting substrate have been extremely fruitful since the turn of the millennium, most notably in promoting reactions of unfunctionalized and unactivated chemical bonds. Furthermore, the application of organic compounds as promoters of chemical transformations has also witnessed increasing sophistication, substrate scope, and efficiency together with new modes of activation, which rival or at times surpass those exhibited by transition metals. Last but not least, the judiciary combination of transition-metal and organic mediators, together with tandem processes encompassing multiple reaction cycles in a programmed sequence, represents a new horizon with vast potentials that have yet to be fully understood and exploited.In this Thematic Series, selected examples of metal- and organic-compound-promoted chemical processes that render the preparation of architecturally complex natural products, natural-product subdomains, or natural-product-like scaffolds, are presented. These illustrative synthetic studies are intended to showcase the most recent developments, at the same time highlight the state-of-the-art and current limitations, and in doing so set the path for the future. It is our great anticipation that this Thematic Series will instigate and inspire further investigations in this field, and challenge the existing technologies and our current mindset in target-oriented synthetic design. Ultimately, we wish that the newly acquired knowledge will translate to further advances in synthetic organic chemistry and provide more enabling tools for synthetic-chemistry-dependent research fields and beyond.David Yu-Kai Chen and Dawei MaSeoul, Shanghai, June 2013"}
+{"text": "Chlamydomonas reinhardtii disrupted for selected target genes. The approach relies on the generation of thousands of transformants followed by PCR-based screenings that allow for identification of strains harboring the introduced marker gene within specific genes of interest. Our results highlight the strengths and limitations of two independent screens that differed in the nature of the marker DNA used (PCR-amplified fragment containing the plasmid-free marker versus entire linearized plasmid with the marker) and in the strategies used to maintain and store transformants.A method was developed to identify insertional mutants of Chlamydomonas reinhardtii (Chlamydomonas throughout) dCTP by PCR amplification of a 360 bp fragment using the PARAU (5'-GAGGATCTGGACGAGGAGCGGAA-3') and PARAL (5'-CCCTCAGAAGAACTCGTCCAACAGC-3') primers.Isolation and enzymatic digestion of genomic DNA, electrophoretic fractionation of the DNA fragments, transfer of the DNA fragments to a nylon membrane, labeling of specific DNA probes, hybridization of the probes to the immobilized fragments and washing of the hybridized membrane were performed as previously described ,34. LabeThe authors declare that they have no competing interests.DGB is the main intellectual author of this work, has participated in the designing, coordination, construction and screenings of both libraries, collected data from some transformants, and wrote this manuscript. WP has made important intellectual contribution to this work, has participated in the designing, coordination, construction and screening of Library 1, collected data from the sulfate transporters mutants, and participated in the writing of this manuscript. FM, WY, CC, LM, and MP have participated in the construction and screening of Library 1, and collected data from many transformants enlisted in Tables"}
+{"text": "The State of infections acquired during care procedures whose prevalence rate is estimated at about 15% in some benchmark institutions reflects the alarming situation of provision of care and patient safety in DR Congo.Conduct an inventory of patient safety in health facilities in the city Kinshasa.Study conducted using survey and observation checklist covering the different aspects of patient safety: institutional, medical technical equipment, medical devices, blood products, drugs, biological graft, waste management medical needles and treatment materials.At the institutional level: the lack of standards and policies on patient safety except on injection safety; lack of policy on the fight against nosocomial infections; reporting system for adverse events.Technically: Absence of risk management procedures, training non-existent on the quality and safety of patients in Kinshasa (90% of staff) and 89% of patients do not know their rights and lack of association of patient safety care.The implementation of a policy of promotion of hospital hygiene and the fight against adverse events associated with their care requires a partnership challenging multiple states, civil society, communicators, the private sector and international institutions.None declared."}
+{"text": "The advancement of diabetes treatment has gone from crude extracts of insulin and accidental discovery of sulfa-like drugs in antibiotics to the development of drugs based on improved understanding of the pathophysiology of diabetes mellitus. This article will review the history of the discovery and development of insulin. A companion focusing on non-insulin diabetes agents will follow in the next issue of JCHIMP. Ebers Papyrus and N , were marketed.Because the insulin preparation required several injections daily, investigators worked to find ways to prolong its duration of action. In the 1930s, H.C. Hagedorn, a chemist in Denmark, prolonged the action of insulin by adding protamine . In ToroOnce patients with diabetes started to live longer, chronic complications of diabetes became prevalent. In 1993, the Diabetes Control and Complications Trial showed for the first time without any doubt the linear relation between the degree of glycemic control and complications . To reduTo have an alternative delivery method for insulin, exubera, the first inhaled insulin, was developed by Sanofi-Aventis and Pfizer and marketed by Pzifer in 2006 . The inhThe discovery of pancreatic crude extracts gave hope to patients with diabetes mellitus. The subsequent development of precisely engineered insulin analogs, which are more physiologic, improved diabetes control and reduced or delayed complications. Insulin continues to be the cornerstone of therapy. Newer medications complement and enhance insulin action tailored toward different mechanisms in the pathophysiology of diabetes mellitus.Meanwhile, in the next issue of JCHIMP, we will review the other agents for diabetes care."}
+{"text": "The first Biennial International Symposium on Colorectal Disease held in Phuket, Thailand, from Dec 8 to Dec 10, 2013, was hosted by the governor of the International College of Surgeons, assistant professor and chief of the colorectal department of the Bangkok Hospital Phuket, Dr. Art Hiranyakas on behalf of the International College of Surgeons, the Society of Colon and Rectal surgeons of Thailand, Vachira Phuket Hospital and Bangkok Hospital Phuket. It was undoubtedly a unique opportunity to hear from internationally acclaimed speakers and experience the most exotic and exceptional Phuket beauty. The three-day exhilarating meeting agenda focused on rectal cancer treatment and advances in colorectal surgery. On the first day, a stimulating live surgery session, moderated by Dr Giovanni Milito, Professor of Surgery, Tor Vergata University Hospital, Rome, Italy, was held showcasing parallel laparoscopic and robotic low anterior resections for distal rectal cancer performed by Drs. Steven Wexner and Seon-Hahn Kim, respectively. The cases were followed by a live demonstration of total mesorectal excision specimen examination and an assessment of mesorectal integrity by the expert gastrointestinal pathologist Dr. Mariana Berho, Chairman of the Pathology and Laboratory Medicine, Cleveland Clinic Florida. This lively and highly informative session prompted an excellent exchange among experts and the attendees.The Honorary Lecture on \u201cColorectal Surgical Education\u2014A Prescription for the Future\u201d by Steven Wexner inaugurated the second day of the conference with a comprehensive review of colorectal surgery education and standards of training, followed by an eye-opening exposition of the challenges and goals for future colorectal training around the world. Dr. Steven Wexner\u2019s lecture served as a perfect prelude to the remainder of the day, which highlighted the complex expertise required for state-of-the-art rectal cancer treatment. The multidisciplinary nature of successful rectal cancer was elegantly taken into account throughout the entire meeting with sessions that discussed the complex role of diet in colorectal carcinogenesis, minimally invasive options and outcomes for rectal cancer surgery, radiologic preoperative rectal cancer staging, and pathological staging after neoadjuvant therapy. A sober discussion on sphincter preservation by Dr. Hiranyakas topped the session with a well-balanced review of the oncologic and functional outcomes, highlighting the advantages and disadvantages of this approach. The controversial topic of the benefits of robotic compared to laparoscopic low anterior resection for rectal cancer was presented by Dr. Francis Seow-Choen and was followed by an edifying and interesting debate with excellent audience participation. The challenges of advanced rectal cancer management were also thoroughly discussed including presentations that reviewed the most recent trials and outcomes for the management of stage IV disease by Yik-Hong Ho, cytoreductive surgery and HIPEC for carcinomatosis peritonei and the liver-first approach for metastatic rectal cancer.The program also included a wide-ranging overview of the diagnosis and treatments of frequent anorectal disorders including pelvic floor disorders, fecal incontinence, and complex anal fistulas. These sessions were coupled with a hands-on endoanal ultrasound course taught by Art Hiranyakas and a live LIFT procedure demonstration by Arun Rojanasakul, Chulalongkorn University, Thailand, who initially developed and reported the procedure. Hemorrhoidectomy techniques and indications followed high-yield topics including management options for complex anorectal fistulas and fecal incontinence. The third day of the meeting also included updates on a potpourri of common anorectal and colorectal issues, including rectal trauma, management of anastomotic leak, and an excellent presentation on enhanced recovery after colorectal surgery protocols and updates, presented by Drs. Varut Lohsiriwat, Mahidol University, Thailand, and Fabio Potenti, Cleveland Clinic Florida, respectively. In addition, a poster walk-around session displayed scientific research abstracts from Asia, Europe, and North and South America.The meeting attendance surpassed expectations and absolutely fulfilled the aim of providing an in-depth and stimulating scientific update of rectal cancer management and advances in colorectal surgery. The world-class exchange of knowledge and experience from international leaders in the field of colorectal diseases and live demonstrations made this an outstanding educational meeting. Taken together, with the fascinating natural beauty of Phuket during the most beautiful time of the year, and the finest Thai hospitality, we are all certainly looking forward to participating in the 2015 meeting. Anyone who did not attend in 2013 should indelibly mark the dates of December 9\u201311, 2015, in their calendar. Anyone with an interest in attending a highly informative meeting and in visiting one of the most beautiful areas in the world should plan to attend. The topics for the next meeting include multidisciplinary approach to colorectal cancer, colorectal imaging, histology, genetics and molecular biology, minimally invasive colorectal surgery including robotics and laparoscopy. Controversies in the management of rectal prolapse, advanced surgical management of fecal incontinence, constipation, anorectal fistulas, and hemorrhoids are also a part of the agenda which includes live surgery and hands-on workshops in surgery, imaging, and histology as well. Save the date! (Fig."}
+{"text": "This report is the collective product of word-leading experts working in the branches of integrative medicine by predictive, preventive and personalised medicine (PPPM) under the coordination of the European Association for Predictive, Preventive and Personalised Medicine. The general report has been prepared as the consortium document proposed at the EPMA World Congress 2011 which took place in Bonn, Germany. This forum analyzed the overall deficits and trends relevant for the top-science and daily practice in PPPM focused on the patient. Follow-up consultations resulted in a package of recommendations for consideration by research units, educators, healthcare industry, policy-makers, and funding bodies to cover the current knowledge deficit in the field and to introduce integrative approaches for advanced diagnostics, targeted prevention, treatments tailored to the person and cost-effective healthcare."}
+{"text": "Integration can take a variety of forms at the macro-, meso- and micro-levels. On the macro-level systems aim to deliver integrated care on a high-level of performance to the population they serve. Meso-level systems focus on the integrated care needs of a particular group or population with same diseases or same conditions. Consequently, integrated systems on the micro-level seek to improve care co-ordination for individual patients and carers.Based on experiences from the USA, UK, and Europe the report comprises successful integrated systems and summarizes relevant evidence about high-profile systems.The book is technically divided into five parts. Following usual convention in the literature, the first and the last section include Introduction and Discussion/Conclusion. The three middle sections, however, are each concerned with one specific level of integration: macro-, meso- and micro-level. For reasons of clarity and comprehensibility this review follows this structure.In Chapter I the authors provide a comprehensive overview of the meanings of different terms, diverse forms of integration in health care and their differentiation and interrelationships. Definitions include \u2018fragmentation\u2019, \u2018integration/integrated care\u2019 as well as its forms of organizational, functional, service, clinical, normative, systemic, horizontal, vertical, real, virtual/contractual and commissioner integration.In the report macro-level integration is described using examples from the US. These systems have high levels of organization and tend to perform better than the fragmented forms of care. Each of the described approaches can be categorized as either complete provider and commissioner integration or provider integration or integrated medical groups.Based on a clear and reasonable research structure consisting of a detailed explanation and description of the integrated systems followed by an assessment of the system\u2019s impact in the national health system based on evaluations, survey data and national ranking the following five integrated care programs are examined:Kaiser Permanente: Virtually integrated system in which provider remain distinct organizations that co-operate based on exclusive contracts.Veterans Health Administration/VA: Real integrated system of regionally based integrated service networks across all care settings.Geisinger Health System: Hospital system, partially integrated in terms of provision and commissioning.Mayo Clinic: Multispecialty groups practice consisting of hospitals and medical offices without own health plan.Integrated Medical Groups : Composition of primary, community physicians from diverse specialties that are either directly employed or have an exclusive contract or have the budget responsibility. Kaiser, VA and Mayo Clinic are seen as integrated medical groups.Moreover, the individual systems are compared among themselves and to the NHS in the UK.Meso-level integration seeks to integrate care for particular groups of patients and population. These programs are mostly focused on older people and those suffering from specific conditions.Following this dichotomy the authors present examples of integration for older people and condition-specific integration. As in the 2nd section of the report the structure of description and impact-analysis based on evaluations and performance measures is used to examine nine systems:Program for all-inclusive care for the elderly: US-based integrated provider model aimed at maintaining frail older people in the community.System of integrated services for aged persons: Canadian integrated provider model seeking to overcome fragmented health and social care for elderly. Ended in 2001.PRISMA: Canadian model of integration and co-ordination of services across provider network to ensure functional autonomy.Rovereto: Italian model aimed to integrate medical and social services in a continuum of care using case managers. Pilot in 1990s.Vittorio Veneto: Italian model aimed to improve the integration and co-ordination of older people\u2019s health and social care. Pilot in 1990s.Torbay: UK-based model using integrated health and social care teams proactively managing the care of vulnerable elderly in cooperation with GPs.Disease management programs: Mostly multicomponent, consisting of a variety of different elements and aim to reduce deficits in the care for long-term conditions such as coronary health disease, COPD or diabetes.Chains of care: Swedish-based way of co-ordination and integration of care across organizations and professions. Focused on certain conditions and based on clear care pathways to improve quality of care.Managed clinical networks: Scottish system seeking to broker care across providers from all sectors that does not require the creation of new organizational entities.The first six examples display ways of integration for older people. In addition to the detailed description the authors also provide a very clear table summarizing the key features and impacts of each system.Micro-level integration is focused on the co-ordination of care for individual patients and carers. Responsibility for care co-ordination is often assigned to a specific individual or a team of care providers trying to decrease fragmentation.Six ways of micro-level integration have been identified by the authors:Care planning and care coordinators: Refers to the planning, coordinating, managing and reviewing an individual\u2019s care. The process of care planning is basically done by a care coordinator.Case management: Assignment of a case manager/care team to each patient that is responsible for assessing needs, developing care plans, organization of care, monitoring the quality of care, and the maintaining of the contact with the patient/family.Patient-centred medical homes and virtual wards: US-based system based on an accountable individual/care team and shared information systems and focused on care delivery for individuals with special care needs.Personal health budgets: Shifting of autonomy over care to patients by giving them responsibility to administer own health budget. Also referred to as self-directed care or individual budget.Use of information technology: Facilitates the timely and efficient flow of information across provider.Use of telecare and telehealth: Enable integrated care especially for long-term conditions by focusing on reducing avoidable and costly use of healthcare resources.The final, fifth chapter of the report takes a closer look at the situation in the UK as well as the implications resulting from the examples. The authors clearly state that action is needed at all three levels to ensure that integration and cooperation deliver better outcomes.This report reviews ways of achieving closer integration for individual service users and carers through care coordination. Very positive: Each section closes with a summary of the key messages of the section. This provides a valuable overview to all readers, allowing them to get first useful information in a short period of time.The reader has to be aware that the paper is primarily aimed at NHS personnel confronted with the re-organization of the UK-system. However, this report has a special value for all policy-makers faced with the question of overcoming fragmentation of care."}
+{"text": "The great success in the prevention and treatment of pediatric HIV in high resource countries, and now in low resource countries, has changed the face of the HIV epidemic in children from one of near certain mortality to that of a chronic disease. However, these successes pose new challenges as perinatally HIV-infected youth survive into adulthood. Increased survival of HIV-infected children is associated with challenges in maintaining adherence to what is likely life-long therapy, and in selecting successive antiretroviral drug regimens, given the limited availability of pediatric formulations, limitations in pharmacokinetic and safety data of drugs in children, and the development of extensive drug resistance in multi-drug-experienced children. Pediatric HIV care must now focus on morbidity related to long-term HIV infection and its treatment. Survival into adulthood of perinatally HIV-infected youth in high resource countries provides important lessons about how the epidemic will change with increasing access to antiretroviral therapy for children in low resource countries. This series of papers will focus on issues related to management of perinatally infected youth and young adults. The remarkable success in the prevention and treatment of paediatric HIV infection in high-resource countries has changed the face of the HIV epidemic in children from a fatal disease to that of a chronic illness. With widespread access to antiretroviral therapy in high-resource settings, many perinatally infected children are surviving into adolescence, young adulthood and beyond . With inThese successes pose new management challenges as perinatally infected youth survive into adulthood. There have been significant difficulties in maintaining adherence to life-long therapy, and in selecting successive antiretroviral drug regimens, given the limited availability of paediatric formulations, pharmacokinetic, and safety data in children and development of extensive drug resistance in multi-drug-experienced children. Long-term survival of youth with perinatal HIV infection has been accompanied by unanticipated needs. These include management of long-term complications of therapy, sexual and reproductive health, mental health needs, and issues of higher education and career training ,5.How to transition from complete dependence on adult caregivers and health services provided in paediatric HIV care settings, which are often multidisciplinary, family-centred and include extensive support services, to adult HIV care systems and assuming responsibility for their own care has received little attention . These yTo optimize the psychosocial well-being and treatment outcomes of perinatally infected adolescents and young adults as well as enabling them to lead long, meaningful and productive lives, there is an urgent need to understand the factors that either facilitate or serve as a barrier to the health and well-being of HIV-infected children and youth, and the complications of HIV and therapy as they age. The articles in this series provide a comprehensive evaluation of the issues related to perinatal HIV infection in both high- and low-resource settings.One common theme is the paucity of research in the area of adolescent perinatal HIV infection, including a lack of epidemiologic data to better define this population of youth on a global basis, and the general lack of data regarding potential impacts of gender on HIV disease in this population.Sohn and Hazra discuss the changes in the global paediatric HIV epidemic as children receiving antiretroviral therapy age into adolescence, highlighting our lack of knowledge regarding the global numbers of perinatally infected youth over 15 years of age because global reporting does not differentiate between perinatal and behaviourally infected youth . They diAgwu and Fairlie discuss the multiple challenges of antiretroviral therapy in perinatally infected youth, with a focus on adherence issues and a review of clinical, immune and viral outcomes . ChildreMellins and Malee discuss mental health issues in perinatally infected youth, reviewing the literature in this area, risk as well as protective factors, treatment modalities and need for further research . Infectein utero and behaviourally based, such as substance use). The authors note the paucity of data in infected adolescents and in youth from resource-limited settings.Laughton and colleagues discuss neurodevelopmental issues in perinatally infected youth, noting that infected youth exhibit problems on general cognitive tests, processing and visual-spatial tasks and are at high risk for psychiatric and mental health problems as discussed by Mellins ,13. WhilLipshultz and colleagues discuss the cardiac effects of HIV and its treatment in perinatally infected children and adolescents, including the range of cardiovascular disease in children, the clinical manifestations, pathogenesis and monitoring, including cardiac biomarkers, and treatment . They emBarlow-Mosha and colleagues discuss the myriad of metabolic complications of HIV and its treatment that are being observed in youth . While pPuthanakit and Siberry discuss issues related to the effect of HIV infection and antiretroviral therapy on bone. They discuss normal bone development and non-HIV factors affecting development as well as HIV and treatment-related factors impacting bone, and approaches to detection, prevention and management of these problems in youth . Bone unBhimma and colleagues discuss the problem of kidney disease in youth with perinatal infection . They noA number of studies have found that many perinatally infected adolescents may not be aware of their HIV status in both high- and low-resource settings \u201323. We rWeber and colleagues note the emerging data and high prevalence of chronic lung disease in adolescents with perinatal HIV infection, as well as the need for more detailed prospective studies. They note that bronchiectasis and bronchiolitis obliterans are important problems in these children, with lung function tests showing significant impairment. The importance of co-infection with tuberculosis and the emergence of chronic lung disease is discussed, emphasizing the need for early antiretroviral therapy in children to minimize the risk of chronic lung problems. Lastly, they provide guidance for the evaluation of lung health and the need for more prospective data.This series of articles serves to focus attention on the growing population of perinatally infected adolescents and young adults globally, the complexities of their care, and helps to identify the future research needs. A holistic approach to improve the long-term health of these youth is needed to ensure that our success in achieving survival of HIV-infected children from infancy is maintained into adulthood."}
+{"text": "Questions have been raised in screening, brief intervention, and referral to treatment (SBIRT) research concerning the role the assessment process may serve in contributing to behavior change. However, most SBIRT trials have not been designed in a way to disaggregate the impact of assessment versus the combined effect of assessment plus brief intervention. We describe the design of the National Institute on Drug Abuse-Clinical Trials Network (NIDA-CTN) Screening, Motivational Assessment, Referral, and Treatment (SMART-ED) trial, with a focus on the screening and assessment instruments used and three treatment conditions to which participants have been randomized: minimal screen only (MSO); screening, assessment, and referral to treatment (if indicated) (SAR); or screening, assessment, and referral plus a brief intervention (BI) with two telephone follow-up booster calls (BI-B). The screening and assessment measures are relatively brief in the context of a clinical trial to minimize participant burden and assessment reactivity. The design allows a comparison of the impact of assessment as an independent factor over and above minimal screening (SAR versus MSO) as well as an evaluation of the incremental benefit of the BI with booster calls over and above assessment without BI (BI-B versus SAR). Assessment reactivity is of concern, especially in BI studies, because it may reduce effect size and conceal therapeutic benefit. On the other hand, if found to contribute independently to behavioral change, assessments could be designed to maximize the therapeutic benefit they provide. The design used in the SMART-ED trial will allow an evaluation of the independent and incremental contribution of the assessment process to behavior change."}
+{"text": "Acute respiratory infections remain a leading cause of morbidity and mortality in Sierra Leone; however, similar to other African countries, little is known regarding the contribution of influenza. Routine influenza surveillance is thus a key element to improve understanding of the burden of acute respiratory infections in Africa. In 2011, the World Health Organization (WHO) funded the Strengthening Influenza Sentinel Surveillance in Africa (SISA) project with the goal of developing and strengthening influenza surveillance in eight countries in sub-Saharan Africa, including Sierra Leone. This paper describes the process of establishing a functional Influenza Sentinel Surveillance (ISS) system in Sierra Leone, a post-conflict resource-poor country previously lacking an influenza monitoring system.Sierra Leone utilized a systematic approach, including situational assessment, selection of sentinel sites, preparation of implementation plan, adaptation of the standard operating procedures, supervision and training of staff, and monitoring of influenza surveillance activities. The methods used in Sierra Leone were adapted to its specific context, using the Integrated Disease Surveillance and Response (IDSR) strategy as a platform for establishing ISS.The ISS system started functioning in August 2011 with subsequent capacity to contribute surveillance activity data to global influenza databases, FluID and FluNet, demonstrating a functional influenza surveillance system in Sierra Leone within the period of the WHO SISA project support. Several factors were necessary for successful implementation, including a systematic approach, national ownership, appropriate timing and external support.The WHO SISA project demonstrated the feasibility of building a functional influenza surveillance system in Sierra Leone, integrated into existing national IDSR system. The ISS system, if sustained long-term, would provide valuable data to determine epidemiological and virological patterns and seasonal trends to assess the influenza disease burden that will ultimately guide national control strategies. Influenza remains an important global public health concern. Annual influenza epidemics are estimated to account for 3 to 5 million severe illnesses and 250,000 to 500,000 deaths worldwide . Though In 2011, the World Health Organization (WHO) funded the Strengthening Influenza Sentinel Surveillance in Africa (SISA) project in which eight countries were selected to receive support to implement or strengthen influenza sentinel surveillance (ISS) and improve epidemiological and virological data collection and reporting through the global databases FluID and FluNet ,8. The pThe objectives of this paper are threefold:to describe the approach used in Sierra Leone in the development and implementation of a functional ISS system; to illustrate the challenges and solutions encountered in developing a surveillance system in a resource-poor country previously lacking an influenza monitoring system; and to provide resource-poor countries, external funders and implementers with a better understanding of the opportunities and challenges of developing new surveillance activities.The SISA project was implemented in Sierra Leone using a common methodological framework including development of initial situation assessment and recommendations for improvement; drafting of relevant country-specific surveillance protocols and standard operating procedures (SOPs); training of sentinel surveillance and data management staff; and supervision of surveillance activities . The metAn initial briefing meeting at the start of the project brought together national program managers and other stakeholders concerned with surveillance activities. All relevant information concerning influenza, including the background, situation analysis, objective and proposed process for implementation of the ISS system in the country, was provided. This initial meeting was instrumental in identifying designated personnel to be involved in the assessment exercise and to ensure leadership at the national level. Throughout the course of implementation,particular attention was placed on training and regular supervision of sentinel surveillance staff. Monthly review meetings were conducted to closely monitor and support the initial phase of implementation of ISS activities.The systematic approach followed in establishing a functional ISS system is described below.Initial activity focused on understanding the organization of surveillance function, including data management at various levels, laboratory support services and availability of suitable health facilities for integrating ISS into existing disease surveillance systems. The methods included the review of relevant documents, visits to the National Ministry of Health of Sierra Leone (MOHS), the Directorate of Disease Prevention and Control (DPC), the National Disease Surveillance Programme (NSD), the District Health Management Team (DHMT) of the Western area, the Central Public Health Reference Laboratory (CPHRL) and the health facilities in the district. Figure\u00a0Sierra Leone has implemented the IDSR strategy, coordinated by the National Surveillance Unit (NSU) within the DPC; IDSR promotes the integration of resources through the coordination and streamlining of common surveillance activities. By integrating multiple surveillance systems, limited personnel and scarce resources can be used more efficiently. In the IDSR implementation framework, epidemiologic surveillance is linked with laboratory support in order to produce relevant information for taking public health action . UltimatAt the time of the assessment, it appeared that the IDSR infrastructure was an appropriate platform in which to integrate the ISS system to ensure sustainability. The sustained laboratory support from diverse partners including the WHO, CDC, Association of Public Health Laboratories (APHL), UNICEF and the Global Fund to Fight AIDS, Tuberculosis and Malaria (GFATM) had gathered momentum to upgrade the CPHRL laboratory capacity to Bio-safety Level 2 (BSL-2) standards. The laboratory was in the initial stages of conducting testing of bacterial meningitis samples for surveillance and HIV polymerase chain reaction (PCR) testing for the early infant diagnosis of HIV. The available PCR machines could ideally be used to identify influenza viruses. However, prior to initiation of influenza testing, building of laboratory human resource capacity and supply of primers would be required.Based on the findings of the assessment, it was feasible to establish an ISS system in Sierra Leone without delay. Consequently, health facilities for the ISS system were selected based on WHO criteria, which included administrative division, geographical location, public-private mixture, institutional capacity to carry out surveillance activities, and staff interest in participation . RecommeApplying the WHO criteria, the following four health facilities in the Western area of Freetown were selected as initial sentinel sites for implementation of the ISS: Jenner Wright Children\u2019s Clinic, Ola During Children\u2019s Hospital, Lumley Government Hospital, and Blue Shield Hospital (private). Surveillance information flow within the health system, which included upwards transmission of data and reports, as well as communicating feedback to sentinel sites and stakeholders, was as follows:The responsibilities of sentinel site staff included collecting epidemiological and laboratory data, transmitting these data to the District Surveillance Officers (DSOs), and collecting, storing and delivering patient specimens to staff at CPHRL.The molecular unit of the CPHRL served as the National Influenza Reference Unit (NIRU) and was responsible for developing protocols for influenza specimen chain of custody and transport, and for training of sentinel site laboratory personnel in specimen handling, bio-safety measures and cold chain maintenance. The CPHRL was also responsible for collecting samples from sentinel sites, logging information, packing and shipping samples to the Institut Pasteur in Dakar, Senegal, and entering laboratory data into the WHO FluNet database.The NSU was responsible for analyzing the epidemiological and laboratory data supervision and providing feedback to sentinel site staff and other stakeholders. The NSU was also responsible for entering epidemiological data into the global database FluID. The DSOs were in charge of reviewing and compiling weekly sentinel site data.The Sierra Leone national influenza sentinel surveillance protocol and SOPs for influenza sample collection, sample handling, packaging, shipping and transport, and data handling and sharing were developed based on the generic WHO guidelines. Additional protocols were adopted for entering epidemiological and virological data into the global databases, FluID and FluNet, which are key tools in monitoring global influenza trends in real-time. Information from FluID and FluNet is available to health professionals and policy makers to assist in making informed decisions regarding influenza management. Using these databases, surveillance activity in Sierra Leone is incorporated into a global network for influenza epidemiological data collection.Standardized case definitions were adopted to identify influenza-like illness (ILI) and severe acute respiratory infection (SARI) cases. An ILI case was defined as \u201ca person with respiratory illness with a measured temperature greater than 38\u00b0C and an onset of a cough within the last seven days\u201d. A SARI case was defined as \u201ca person with respiratory illness with a history of or measured temperature greater than 38\u00b0C, a cough, and onset of shortness of breath or difficulty breathing that required hospitalization within the last seven days\u201d.The training workshop targeted all staff involved in surveillance, including surveillance officers at the national and district level, clinicians, laboratory technicians, monitoring and evaluation officers in charge of data at the selected health facilities, and staff at CPHRL. The topics covered in the training included an overview of influenza epidemiological patterns, clinical and virological diagnosis of influenza, and specimen collection, handling and transportation. Data management, including data collection, collation, analysis and flow, was also discussed. At the national level, additional information on weekly summary reporting and data analysis using EpiInfo software was discussed.On-site support at sentinel sites covered practical demonstration of nasal swab sample collection, data recording, compilation of weekly summaries, and transfer of samples. Additional support included demonstration for correct sample handling, storage, and assurance of cold chain integrity and usage of sample custody forms.The NSU conducted regular supervision to facilitate smooth operation of the implementation. The DSOs in charge of collecting and compiling weekly sentinel site data also provided additional support to sentinel sites, including cleaning data to maintain data quality and timeliness. Regular review meetings were held, bringing together all staff engaged in sentinel influenza surveillance from sentinel sites, CPHRL, MOHS and WHO. The objectives of the meeting were to determine the progress of implementation, identify challenges, and propose solutions and elaborate subsequent steps in the process of implementation.The sentinel surveillance system formally began on August 19, 2011. The implementation was closely monitored and supported through onsite technical assistance, regular supervision and monthly review meetings.A sampling method was used for ILI cases based on the patient load at health facilities and the capacity of the laboratory to process samples. Accordingly, a nasal swab sample from every fourth ILI patient was collected. For SARI, a nasal swab was collected from all cases. Prior to sample collection, an explanation of the procedure was provided and verbal consent was obtained from the patient or guardian. Nasal swabs were collected according to the procedures described in the SOPs. The following data were recorded for each patient sampled: sentinel site identification number, date of symptom onset, date of specimen collection, date of hospitalization (for SARI cases), sex, age, temperature, pregnancy status, seasonal influenza vaccine status, antiviral use, and any comorbidities.Specimens were stored at sentinel sites in appropriate viral transport media at 2-8\u00b0C until collection by the CPHRL. Sentinel sites notified the CPHRL regarding samples that were collected and ready for pick-up. Samples were picked up by the CPHRL within 48 hours of collection. At the CPHRL, the specimens were logged and packaged for shipment to the Institut Pasteur in Dakar, Senegal.Reverse transcriptase PCR (RT-PCR) testing for influenza A and B was conducted at the Institut Pasteur in Dakar, Senegal. The results were communicated to the MOHS and also back to the sentinel sites from which the sample originated.During the SISA project surveillance data collection period in Sierra Leone, from August to December 2011, 1,235 ILI cases and 282 SARI cases were identified in the four sentinel sites \u2022Securing additional funding to cover specimen collection, laboratory costs, consumables, etc.\u2022Close monitoring of progress with update and feedback at regular review meetings\u2022Motivation of staff through recognition and other non-monetary incentivesThe project was implemented using a deliberate systematic approach, beginning with a thorough assessment of Sierra Leone\u2019s existing surveillance system capabilities. The national IDSR network was used as a platform to integrate the ISS and demonstrated that building on an existing framework was the most appropriate approach.Training, which began after all stakeholders were identified and committed to be part of the sentinel site, occurred at multiple levels and ensured that all involved with surveillance activities were properly trained before progressing to the implementation phase. A similar approach was used in data collection. The roles, responsibilities and reporting timelines were clearly defined on the surveillance data flow for each level to avoid confusion and to ensure regular submission of data. Using this approach ensured that the project was fully prepared to successfully implement the sentinel site surveillance.Another important factor for the success of the SISA project was the ownership and active leadership of the government of Sierra Leone. The ISS system implementation began with a briefing at the national level to ensure the participation of decision makers and staff involved in surveillance activities at various levels. Following the initial assessment, a consensus-building meeting was held where important information was communicated and the national action plan was developed using a participatory approach. The monthly review meetings that brought together focal persons from the various sentinel sites, CPHRL, and surveillance officers from the district and national levels served for sharing experiences, providing feedback and troubleshooting problems. Allowing staff members to directly participate in the evaluation and management of the surveillance activities and openly recognizing their work, increased staff motivation and dedication.The timing of the project coincided with the strategic planning for IDSR, which allowed for its integration with the overall surveillance function and provided additional support for the activity. Most importantly, the project benefited from the national leadership, committed partners, team approach and continuous engagement and motivation of all staff involved. The introduction of the SISA project also coincided with the ongoing efforts of partners, such as WHO and CDC, in building the capacity of the CPHRL. Additionally, partnerships such as the Institut Pasteur in Dakar, Senegal, and the Ghana National Influenza Center were beneficial in providing laboratory services unavailable in-country.The focused technical and financial support through the SISA project was critical for the success of establishing the system for ISS in Sierra Leone. However, continuation of project support following the initial phase could have allowed for better consolidation of the achieved results and detailed analysis, including seasonal variation, of the information from the epidemiological and virological data in the country. Despite the above limitation of the project, the integration of the ISS into the IDSR is an effective and efficient approach that will allow for sustainability. These efforts will require the continued support of partners such as WHO and CDC in order for Sierra Leone to maintain generation of influenza surveillance data that is critical for disease control efforts at local and international levels.The WHO SISA project demonstrated the feasibility of building a functional influenza surveillance system in Sierra Leone, integrated into the existing national IDSR system and generating relevant surveillance data within a seven-month in-country project phase and sustained with support of local partners.Although the collaboration with influenza laboratories in the region was a useful initial step, the reliance on an out-of-country laboratory for testing required additional organization, time, and increased funds. Strengthening and accreditation of the CPHRL of Sierra Leone will enable the national ISS system to function more efficiently and independently. Future laboratory related work should ensure a system for efficient specimen handling, regular supply of markers, and participation in quality assurance to ensure that the CPHRL is advanced to the list of National Influenza Center status.Despite the challenges and limitations, the ISS system in Sierra Leone produced valuable results that were incorporated into the global databases FluID and FluNet. Additionally, one year following cessation of active external technical support by SISA, the system continues to be operational and effective in monitoring the burden of influenza. National ownership was demonstrated to be a critical element in the success of the project and is critical for sustainability of the ISS system and other future surveillance activities. The ISS system, if sustained long-term, would provide valuable data to determine epidemiological and virological patterns and trends to assess the influenza disease burden that will ultimately guide national control strategies.APHL: Association of Public Health Laboratories; CDC: US Centers for Disease Control and Prevention; CRHRL: Central Public Health Reference Laboratory; DHMT: District Health Management Team; DPC: Directorate of disease prevention and control; DSO: District surveillance officers; IDSR: Integrated disease surveillance and response; ISS: Influenza sentinel surveillance; MOHS: Ministry of health and sanitation; NSD: National disease surveillance program; RT-PCR: Reverse transcriptase - polymerase chain reaction; SISA: Strengthening influenza sentinel surveillance in Africa project; SOPs: Standard operating procedures; WHO: World Health Organization.CA Steffen works for the Agence de M\u00e9decine Pr\u00e9ventive (AMP), which receives unrestricted support from Sanofi-Pasteur and grant-specific support from Crucell, GlaxoSmithKline, Merck, Novartis Vaccines, Pfizer and Sanofi Pasteur. All other authors have declared that no competing interests exist.SK and IC conceived the study. CA was the overall SISA project coordinator for AMP and provided scientific advice and technical input to the manuscript as well as revision work. SK, IC, CA, IW, and FD organized and coordinated collection of field data. SK, IC, and FK analyzed data. SK drafted the manuscript. SK, CA, WA, and KV finalized the manuscript. AJ, AY, FK provided feedback to the manuscript. All authors read and approved the final manuscript."}
+{"text": "Chronic cough is a very common complaint in clinics throughout China. Clinical and basic science research on chronic cough started late, but in recent years the effort has yielded promising findings regarding the etiological diagnosis, treatment and pathogenesis. We found that inflammation in nonasthmatic eosinophilic bronchitis has some similarities to cough variant asthma but also a number of distinct differences. Recent evidence has also suggested a mechanistic link between airway neurogenic inflammation and and gastroesophageal reflux cough (GERC). Cough-related animal models have been developed, including models for esophageal reflux, nonasthmatic eosinophilic bronchitis and allergic rhinitis. Normal reference values for differential cell counts in induced sputum, cough sensitivity and esophageal 24-h pH monitoring in Chinese healthy subjects have been established. By using a modified algorithm for the etiological diagnosis of chronic cough, the causes of chronic cough have been investigated across a number of cities in China. The most common causes of chronic cough are cough variant asthma, eosinophilic bronchitis, upper airway cough symptoms, atopic cough and GERC, however, there are some regional variations. The Chinese National Guidelines on Diagnosis and Management of Chronic Cough were drafted in 2005, updated in 2009, and have been widely publicized and disseminated through many channels since their publication. In the clinical setting, chronic cough is defined as cough being sole or predominant symptom and lasting for more than 8 weeks with normal chest X-ray. Chronic cough is a common complaint in China, as it is in Europe, America and Japan. An epidemiological study demonstrated a 3.3% incidence of chronic cough among college students in Guangzhou. It is aSince the description of an anatomy-based diagnostic protocol for chronic cough in 1977 by Irwin and colleagues, many studies have been undertaken in America, Europe and Japan, concerning the pathogenesis, etiologic diagnosis and management of chronic cough with the subsequent development of national guidelines-6. Since4), histamine, prostaglandins, and eosinophilic cationic protein (ECP). Despite the similarities between EB and asthma, there are a number of disparities:Airway inflammation in EB shares some similarities to asthma regarding the recruitment of inflammatory cells such as eosinophils (Eos), T lymphocytes and mast cells, as detected using the induced sputum test, bronchoalveolar lavage fluid (BALF) cytology and airway mucosal biopsy. In addition, airway inflammation is attributable to the pro-inflammatory mediators released from these cells, which include leukotriene C4 in induced sputum in both EB and asthma,13. HoweLiu et al. found that gastroesophageal reflux is an independent cause of cough, and that reflux of the distal esophagus may induce cough in most cases with GERC. In patients with GERC, distal reflux episodes accounted for 88.23% of all reflux events during 24-hour pH monitoring, and were positively correlated to the onset of coughs. In guinAnimal cough models include models of isolated cough and those of cough-related diseases. Several specific cough-related animal models currently available in China are described below.Animal models of reflux esophagitis with concomitant inflammation in the tracheal and bronchial mucosa were successfully established in guinea pigs by repeated esophageal infusion of HCL and pepsin. These animal models provide a basis for studies on the pathogenesis of reflux-related respiratory disorders.An eosinophilic bronchitis model in BALB/c mice has been established for the first time. To establish the model of this kind, all the mice were sensitized by intraperitoneal ovalbumin (OVA) and subsequently challenged by either intranasal drip or inhalation of OVA. This moAn allergic rhinitis model was successfully established by sensitizing mice with intraperitoneal OVA and then challenging them with an intranasal OVA drip. In addiEarly studies in Europe and America indicated that the most common causes of chronic cough in specialist clinics were postnasal drip syndrome (PNDS), bronchial asthma and gastroesophageal reflux (GER), which accounted for more than 93.6% of all causes. ReferriThe definition of atopic cough was first proposed in 1989 by Fujimura. In JapaOur previous study showed that about 5% of chronic cough can be attributed to chronic bronchitis. ChronicIn 2003, analysis of differential cell count in induced sputum samples was introduced into the diagnostic protocol for chronic cough in China. This teIn China, the assessment of cough sensitivity is not yet an established part of the diagnostic algorithm for chronic cough, and is available in only a few medical institutions. The normal lower limit of cough sensitivity has been primarily established (C5 \u226562.5 \u03bcmol/L) using a single metered-dose inhalation of capsaicin. IncreasIn the Chinese National Guidelines on Diagnosis and Management of Cough, detection using spirometry and airway hyperresponsiveness is recommended as the first-line tests for the diagnosis of chronic cough. While sAmbulatory 24-h esophageal pH monitoring has some value in the diagnosis of gastroesophageal reflux disease and to assess the association between reflux events and cough episodes. The normal Demeester score is <12.70 for healthy Chinese subjects, slightlThe algorithm for the etiological diagnosis of chronic cough has been re-structured to adapt to the clinical picture of this condition in China Figure, with reNB: 1) ACEI: angiotensin converting enzyme inhibitor; UACS: upper airway cough syndrome; PNDS: postnasal drip syndrome; CVA: cough variant asthma; EB: eosinophilic bronchitis; SPT: skin prick test; IgE: immunoglobulin E; GERC: Gastro-esophageal reflux-related cough; AC: atopic cough. 2) Empirical treatment can be initiated in grass-root institutions or to individuals with low income. Patients who fail empirical treatment should be referred for thorough investigations of underlying etiologies at institutions with sufficient access to medical resources, to prevent a delay in treatment.Along with increasing concern in this field, a series of studies addressing the etiologies and treatment of cough have been conducted in Europe, America and Japan over the past 30 years. These efforts have shed light on the common causes of chronic cough and have given rise to the development of guidelines on the diagnosis and treatment of cough-6. In ChSince their release, the Chinese cough guidelines have been widely publicized and disseminated through journals, newsletters, conferences, internet and many other channels. A Cough Forum has been held annually around China since 2007, which provides a platform to discuss the cough research hot topics. A cough symposium has also been added to the agenda of the Annual Conference of Chinese Society of Respiratory Diseases. In addition, several reputable national journals have launched columns or published special issues on chronic cough to introduce the state-of-the-art advances in this field worldwide. Furthermore, keynote speakers from America, Europe and Japan are invited to China on a regular basis to share their expertise on chronic cough.Looking to the future, we still have a long way to go until the mystery surrounding chronic cough is unraveled. The closer communication and collaborations between Chinese and international specialists will improve our understanding of the diagnosis and treatment of chronic cough in the future.Chronic cough is a common complaint in the clinic in China. In the last decade, the etiological diagnosis and pathogenesis of chronic cough have been widely studied in China, and promising findings have been reported. The pathophysiology and causes of chronic cough in China have local characteristics. Whether genes, geography and lifestyle diversity contribute to these differences is unknown. We have developed cough-related tests, such as the induced sputum test and capsaicin challenge test. With the release of the Chinese Guidelines on the Diagnosis and Treatment of Cough, we believe many more patients are being correctly diagnosed and receiving the appropriate treatment. However, the cause and pathogenesis of some types of chronic cough need to be further elucidated.The authors declare that they have no competing interests.NSZ and KFL conceived the study. KFL and WL carried out the literature review and drafted the paper, GQZ drafted the paper and provided writing support. All authors read and approved the final manuscript.KFL: M.D. PhD., Professor of Internal Medicine, State Key Laboratory of Respiratory Diseases, 1st Affiliated Hospital of Guangzhou Medical College, and PhD tutor of respiratory medicine.WL: Master Degree in immunology, senior research fellow, State Key Laboratory of Respiratory Diseases, 1st Affiliated Hospital of Guangzhou Medical College.st Affiliated Hospital of Guangzhou Medical College; Editorial Director, Journal of Thoracic Disease.GQZ: M.D., Associate Professor of Medicine, Professor of Editology and Publishing, State Key Laboratory of Respiratory Diseases, 1NSZ: Academician of Chinese Academy of Engineering, Professor of Internal Medicine, State Key Laboratory of Respiratory Diseases, 1st Affiliated Hospital of Guangzhou Medical College, and PhD tutor of respiratory medicine."}
+{"text": "I read with interest the timely article by Rasoli and colleagues, who reviewed the literature on the efficacy of antioxidant vitamins in the management of atrial fibrillation (AF) . Those aInhibiting the major source of excess ROS is a different therapeutic approach that may prove effective in the management of various types of arrhythmia. The major sources of cardiac ROS are nicotinamide adenine dinucleotide phosphate (NADPH) oxidase, the mitochondria electron transport chain, and uncoupled endothelial nitric oxide synthase. Those sources of ROS are interrelated, and the activation of one may result in the increased production of ROS by other sources, particularly by mitochondria (ROS-induced-ROS release) . Under d"}
+{"text": "Rather, the available evidence indicates that these disorders are associated with subtle abnormalities distributed throughout the brain , major depression, bipolar disorder, post-traumatic stress disorder (PTSD), and Alzheimer's disease, and showcases the diverse range of methods used to interrogate these brain changes.This Special Topic of The article by Fornito and Bullmore overviewThe remaining articles illustrate the application of specific techniques to study different disorders. Independent component analysis (ICA), a popular data-driven technique for decomposing fMRI data into distinct components with characteristic anatomy and temporal dynamics (Calhoun et al., Seed-based techniques are featured in the work of Mills et al. , Mennes In a second study of MDD, Almeida et al. use dynaGraph analytic techniques are featured in the work of Xie and He and CollFinally, Lungu and Stip present Collectively, the research presented in this Special Topic provides the novice reader with exposure to the diverse array of methods available for interrogating brain network structure and function in health and disease, and offers the expert reader prime examples of cutting-edge applications of these methods to understand psychiatric disorders. The continued development of novel connectivity mapping techniques (Bassett et al.,"}
+{"text": "The BITS2011 meeting, held in Pisa on June 20-22, 2011, brought together more than 120 Italian researchers working in the field of Bioinformatics, as well as students in Bioinformatics, Computational Biology, Biology, Computer Sciences, and Engineering, representing a landscape of Italian bioinformatics research.This preface provides a brief overview of the meeting and introduces the peer-reviewed manuscripts that were accepted for publication in this Supplement. The Italian Society of Bioinformatics (BITS) was founThe main aim of the Society, which is a Regional group of the International Society for Computational Biology (ISCB), is the fostering of Bioinformatics in Italy. Its activities include the organization of an annual scientific meeting, the maintenance of a web site and of a mailing list for the distribution of news of interest for the involved community of researchers, the coordination of educational initiatives in Italy, from bachelor to PhD degrees, the coordination of research activities among members, and the improvement of the participation of Italian researchers, both senior and junior, to international events and projects of relevance.The Eighth Annual BITS Meeting, BITS 2011, was held in Pisa at the Research Campus (Area della Ricerca) of the National Research Council (CNR), on June 20-22, 2011. The meeting was organized by Marco Pellegrini of the CNR Institute for Informatics and Telematics and by Roberto Marangoni of the Computer Science Department of the University of Pisa.Over 120 scientists actively working in bioinformatics and related fields or strongly interested in its development met and discussed their work, state of the art and future perspectives. A total of 98 abstracts were accepted: 23 of them were selected for oral presentation by the Scientific Committee after a well established peer-review procedure based on three reviews and scores per paper. The remaining 75 were presented in the poster sessions.Four keynote talks were given by distinguished scientists. Marie-France Sagot, INRIA-Lyon, France, gave a talk on \"Towards an Algorithmic and Mathematical Exploration of Symbiosis\". \"How not to Become a Systems Biologist\" was the title of the \"Giuliano Preparata\" Lecture given by Arthur Lesk, Penn State University, USA. Bud Mishra, New York University, USA, gave a provocative talk on \"Why we Keep Assembling...\". \"Using the T-Coffee Multiple Sequence Aligner in the High Throughput Era\" was the title of the keynote given by Cedric Notredame, Center for Genomic Regulation (CRG), Barcelona, Spain. The last talk was co-sponsored by the Italian Network for Bioinformatics Oncology (RNBIO).The conference was organized into thematic sessions that reflected the following conference topics: Genomics, Molecular Evolution and Comparative Genomics, Protein structure and function, Proteomics, Transcriptomics, Metagenomics, Systems Biology, Biological Databases, Biobanks, Algorithms for Bioinformatics, Biophysics, and Synthetic Biology.An \"industrial track\" was also organized under the form of a round table focused at opening a dialogue between the industries and the academic world on bioinformatics. The round table was participated by deputies of University of Pisa, CNR, industrial accelerators programs, and computing and/or life sciences companies in Tuscany. It ended with the decision to open a permanent table of discussion on the advancement of bioinformatics in the Innovation Poles in Tuscany.The web site of the mTwo tutorial lectures were also given on the last day of the meeting at the Computer Science Department of the University of Pisa. Giorgio Valentini, from the University of Milan , gave a tutorial on \"Machine learning methods for gene function prediction\" and Andrea Bracciali, from the University of Stirling , gave a lecture on \"Formal Models in Systems Biology\".Shortly after the conference, 42 papers were submitted for publication in this BMC Bioinformatics Supplement. An Editorial Board was formed, including all members of BITS Programme Committee. Associated Editors are listed here:\u2022 Rita Casadio, University of Bologna, Bologna, Italy\u2022 Gianni Cesareni, University of Rome \"Tor Vergata\", Rome, Italy\u2022 Francesca Ciccarelli, European Oncology Institute, Milan, Italy\u2022 Domenica D'Elia, CNR Institute for Biomedical Technologies, Bari, Italy\u2022 Diego Di Bernardo, Telethon Institute of Genetics and Medicine, Naples, Italy\u2022 Angelo Facchiano, CNR Institute of Food Sciences, Avellino, Italy\u2022 Manuela Helmer Citterich, University of Rome \"Tor Vergata\", Rome, Italy\u2022 Sabino Liuni, CNR Institute for Biomedical Technologies, Bari, Italy\u2022 Roberto Marangoni, University of Pisa, Pisa, Italy\u2022 Marco Pellegrini, CNR Institute for Informatics and Telematics, Pisa, Italy\u2022 Graziano Pesole, University of Bari, Bari, Italy\u2022 Paolo Romano, IRCCS San Martino IST, Genova, Italy\u2022 Giorgio Valle, University of Padova, Padova, ItalyA stringent reviewing procedure was then adopted. Associate Editors handled the process according to their recognized knowledge in specific meeting topics. At least three referees, of a high reputation at an international level, were selected for each submission. Overall, 67 referees from 20 different countries were involved in the selection of papers. We opted for a two step peer review procedure, offering authors the possibility to submit a new version of their paper, revised according to the referees' comments.At the end of this process, 22 papers were accepted and are now included in this Supplement. They cover different aspects of theoretical and applied Bioinformatics. For sake of readability, they are presented in this Supplement grouped by topic.et al [et al. [et al. [In the context of \"Algorithms for Bioinformatics\", we present three contributions. \"Accurate multiple sequence alignment of transmembrane proteins with PSI-Coffee\" from Chang et al reports [et al. presents [et al. presentset al [In the context of \"Biological Databases and Biobanks\", this Supplement includes the following four papers. \"GIDL: a rule based expert system for GenBank Intelligent Data Loading into the Molecular Biodiversity Database\" by Pannarale et al presentset al [\"An ICT infrastructure to integrate clinical and molecular data in oncology research\" by Segagni et al presentset al [\"OREMPdb: a semantic dictionary of computational pathway models\" by Umeton et al presentset al. [\"Towards Linked Open Gene Mutations Data\" by Zappa et al. presentset al [et al [et al [In the context of \"Biophysics and Synthetic Biology\", the paper \"Fine-tuning anti-tumor immunotherapies via stochastic simulations\" by Caravagna et al uses siml [et al presentsl [et al offers al [et al copes wiCarthamus tinctorius and Cynara cardunculus\" [et al [et al [For the \"Genomics\" topic, three papers were selected. In the first one, \"In-silico and in-vivo analyses of EST databases unveil conserved miRNAs from unculus\" , Catalan\" [et al , the autl [et al describeet al [For the \"Molecular Evolution and Comparative Genomics\" topic, \"Primates and Mouse NumtS in the UCSC Genome Browser\" from Simone et al describeet al., in \"Intuitive representation of surface properties of biomolecules using BioBlender\" [et al. [et al. [radii. A version of the software running on Linux is also made available for download as supplementary material. The last paper in this topic, by Vangone et al [The topic \"Protein Structure and Function\" had four works selected. Andrei Blender\" , describ [et al. , describ [et al. , describne et al , reportsThe \"Systems Biology\" topic is represented by the work of Fioravanti and co-authors , where set al [et al. [Finally, the \"Transcriptomics\" topic has two papers selected. The work by Consiglio et al describe [et al. describeThe next Annual meeting of the Italian Society of Bioinformatics will be held in Catania, May 2-4, 2012. Further information about BITS 2012 is available on its purpose web site , as well"}
+{"text": "The xylem vascular system is composed of fused dead, hollow cells called tracheary elements (TEs) that originate through trans-differentiation of root and shoot cambium cells. TEs undergo autolysis as they differentiate and mature. The final stage of the formation of TEs in plants is the death of the involved cells, a process showing some similarities to programmed cell death (PCD) in animal systems. Plant proteases with functional similarity to proteases involved in mammalian apoptotic cell death (caspases) are suggested as an integral part of the core mechanism of most PCD responses in plants, but participation of plant caspase-like proteases in TE PCD has not yet been documented.Confocal microscopic images revealed the consecutive stages of TE formation in Zinnia cells during trans-differentiation. Application of the caspase inhibitors Z-Asp-CH2-DCB, Ac-YVAD-CMK and Ac-DEVD-CHO affected the kinetics of formation and the dimensions of the TEs resulting in a significant delay of TE formation, production of larger TEs and in elimination of the 'two-wave' pattern of TE production. DNA breakdown and appearance of TUNEL-positive nuclei was observed in xylogenic cultures and this was suppressed in the presence of caspase inhibitors.To the best of our knowledge this is the first report showing that caspase inhibitors can modulate the process of trans-differentiation in Zinnia xylogenic cell cultures. As caspase inhibitors are closely associated with cell death inhibition in a variety of plant systems, this suggests that the altered TE formation results from suppression of PCD. The findings presented here are a first step towards the use of appropriate PCD signalling modulators or related molecular genetic strategies to improve the hydraulic properties of xylem vessels in favour of the quality and shelf life of plants or plant parts. Maintenance and structuring of tissues and organs, homeostasis and defence in biological organisms are controlled by well coordinated and active cellular processes of death and survival. Programmed cell death (PCD) is a cell suicide genetically programmed, developmentally associated and environmentally stimulated mechanism and has been found throughout animal and plant kingdoms -6. PCD iIn vascular plants, PCD is involved in embryogenesis, developmental processes, senescence, hypersensitive response to pathogen attacks and in the response to abiotic stress stimuli ,5,19,27.Zinnia elegans) cell cultures, derived from leaf mesophyll cells, has revolutionized the understanding of the xylem differentiation process butane; (NAA): \u03b1-naphthalene-acetic acid; (BA): NPT and ETI shared their participation in the experimental design of the study, pharmacological analysis, light, fluorescent, confocal and DIC microscopic observations and measurements, DNA analysis, data processing and manuscript drafting. ETI also contributed to manuscript revision. TQ participated in the experimental work as a MSc thesis student. WvI and JHNS acted as daily supervisors of the experimental work. AMCE and OvK were involved in the coordination of the research program on xylogenesis and plant quality, OvK as chair of the Department Horticultural Production Chains and AMCE as chair of the Department of Plant Cell Biology. Both participated in the progress meetings.EJW conceived and co-ordinated the study on PCD in xylogenic Zinnia cultures and drafted and revised the final version of the manuscript. All authors read and approved the final manuscript.Zinnia elegans: from cellular development in vitro to performance in planta\" of which this study is a part. He is currently appointed as Lecturer at the Department of Biochemistry and Biotechnology, Kwame Nkrumah University of Science and Technology (KNUST), Kumasi, Ghana. ETI is qualified in plant physiology with a focus on programmed cell death, cell cultures, phyto hormones, stress and post-harvest physiology. In this study she participated through 21 months EC FP6 Marie Curie Intra-European Fellowship project \"Regulating plant quality by controlling xylem vessel dimensions during xylogenesis\" at Wageningen University, Agrotechnology and Food Science Group (AFSG), Wageningen, The Netherlands. At present ETI occupies a position of Associate Professor at the Institute of Ornamental Plants, Sofia, Bulgaria. TQ participated in the work when she was a MSc student, currently she is a PhD student at Wageningen University. WvI is Assistant Professor at Wageningen University, Department Horticultural Production Chains, his expertise is, among others, in effects of environmental conditions on plant growth and product quality and is an expert in xylem vessel functioning and its relation to quality of detached plant parts. JHNS is Associate Professor in the Laboratory of Plant Cell Biology, with a main expertise in structural plant cell biology and embryogenesis. AMCE is Professor of Plant Cell Biology of Wageningen University with main expertise in cytoskeleton and cell wall formation. OvK is chair holder of the Department Horticultural Production Chains of Wageningen University with main expertise in chain management and non-destructive measurements of processes related to product quality. EJW is Professor in the Department Horticultural Production Chains and project manager at the Wageningen University Research Institute \"Food and Biobased Research\". EJW has a broad background in (postharvest) plant biology and has long term experience in plant programmed cell death research using, among others, different types of cell cultures.PT was employed as a PhD student at Wageningen University, Department Horticultural Production Chains from 2003 to 2007 and successfully defended his PhD Thesis \"Hydraulic properties of"}
+{"text": "Eucalyptus: Collaborating Center in Agriculture Defense Relative to the Biosafety of Genetically Modified (GM) Eucalypts\u201d is to gather, assess and validate the existing information concerning GM and non-GM Eucalyptus and its derivatives in the Brazilian environment, both in laboratories and field test experiments. Accordingly, the purpose of the present research activity is to provide a binary plasmid collection containing different versions of the gene encoding green fluorescent protein (GFP), originally from Aequorea victorea, for the future generation of easily detectable GM plant phenotypes. Using commercially available plasmids encoding blue (ECFP) and yellow (EYFP) versions of GFP for expression in bacteria, the initial strategy was to transfer the coding sequences to the intermediate plasmid pSport1 (Invitrogen) and, subsequently, to pART7 plasmid, which contains the promoter and terminator sequences for gene expression in plants. Although recombinant bacteria have been obtained for both genes, DNA sequencing showed that success was achieved only with pSport1-eyfp. So far, pART7 versions were not obtained. A new cloning strategy was proposed, which involves the binary plasmid pCAMBIA1302 (Cambia). This plasmid already contains one version of the gfp gene for expression in plants. The intention is to replace the gfp gene by ecfp, eyfp and mCherryFP versions. As soon as plasmids are finished, plants will be transformed via Agrobacterium tumefaciens, and their transgenic state will be confirmed by the fluorescence of the encoded proteins. Thus, the fluorescence of the GFP different versions will be used to monitor seeds, pollen, leaves and transgenic plants as a whole in the environment.The main purpose of the \u201cCDA Financial support: Brazilian Ministry of Agriculture, Farming & Supply (MAPA), and The National Council for the Development of Science & Technology (CNPq), Brazilian Ministry of Science & Technology (MCT)."}
+{"text": "Analysis is lacking on the management of vector control systems in disease-endemic countries with respect to the efficiency and sustainability of operations.Three locations were selected, at the scale of province, municipality and barangay (i.e. village). Data on disease incidence, programme activities, and programme management were collected on-site through meetings and focus group discussions.Adaptation of disease control strategies to the epidemiological situation per barangay, through micro-stratification, brings gains in efficiency, but should be accompanied by further capacity building on local situational analysis for better selection and targeting of vector control interventions within the barangay. An integrated approach to vector control, aiming to improve the rational use of resources, was evident with a multi-disease strategy for detection and response, and by the use of combinations of vector control methods. Collaboration within the health sector was apparent from the involvement of barangay health workers, re-orientation of job descriptions and the creation of a disease surveillance unit. The engagement of barangay leaders and use of existing community structures helped mobilize local resources and voluntary services for vector control. In one location, local authorities and the community were involved in the planning, implementation and evaluation of malaria control, which triggered local programme ownership.Strategies that contributed to an improved efficiency and sustainability of vector control operations were: micro-stratification, integration of vector control within the health sector, a multi-disease approach, involvement of local authorities, and empowerment of communities. Capacity building on situational analysis and vector surveillance should be addressed through national policy and guidelines. Vector-borne diseases cause a major burden in the Philippines. Main diseases are malaria, dengue, lymphatic filariasis, schistosomiasis and Japanese encephalitis ,2. The PVector control has the potential to play an important role in reducing transmission of these diseases and in reaching critical low levels of vectorial capacity required for elimination of disease -9. To beThe technical and operational sustainability of vector control is of major concern, given the threat of insecticide resistance -12, and Numerous reports are available on the effectiveness and costs of individual vector control interventions, with some of these interventions having an application value in diverse epidemiological settings ,14. HoweThe World Health Organization promotes the principles and approaches set out in the strategic framework on integrated vector management (IVM) to improve the efficacy, cost-effectiveness, ecological soundness and sustainability of vector control . A recenThis study was initiated on the assumption that lessons could be learnt about operational efficiency and sustainability by studying vector control systems established at different levels of public administration because at each level, distinct conditions for decision-making and integration would apply. The outcomes were evaluated in relation to the five key elements laid-out in the framework on IVM: evidence-based decision-making; an integrated approach; collaboration within the health sector and with other sectors; advocacy, social mobilization and legislation; and capacity building . As the Three locations were selected, at different administrative levels, i.e. province, municipality and barangay; a barangay is the smallest administrative division in the Philippines and is equivalent to a village.The first case study location, Cagayan Valley in north-eastern Luzon, comprises the provinces of Isabela and Cagayan (combined population 2.4 million). This area was selected as an example of a malaria elimination programme showing promising results in the reduction of malaria cases. The programme in Cagayan Valley was implemented under the National Malaria Control Programme, with main support from the Global Fund. The second case study location was the municipality of Mati City , in Davao Oriental province in south-eastern Mindanao. This location was selected because of its known local efforts in developing an epidemic response system for vector-borne disease control. The third case study location, the barangay of Simbalan , in Buenavista municipality, Agusan del Norte province in northern Mindanao, was selected as a known example of a barangay with active involvement of local leaders and communities in vector control.The case studies were conducted on site in June 2011. Data on programme achievements in terms of training, supervision and interventions and data on disease incidence rates were gathered through meetings at health offices at regional, provincial and municipal level. Focus group discussions were held in selected municipalities and barangays with local government officers, barangay health workers and members of civil society to obtain qualitative data on the recent history, structure, organization and management of local programmes.Anopheles flavirostris and Anopheles maculatus, which breed at the edges of streams in foothills, especially near human habitation [The main malaria vectors in Cagayan Valley, as in most of the Philippines, are bitation -20. In 2Plasmodium falciparum. The purpose of the micro-stratification, to be updated every three years, was to aid programme managers in their planning, choice of interventions and efficient use of resources for case detection and vector control in accordance with the disease situation in each barangay.These malaria incidence data have enabled micro-stratification of malaria epidemiology, with the barangay as stratification unit. The micro-stratification, conducted in 2010, categorized individual barangays as having 'stable transmission', 'unstable transmission', 'sporadic transmission' or being 'malaria prone', defined on the basis of monthly patterns of malaria transmission using criteria presented in Table The results showed that the distribution of malaria was highly focal, with 'stable transmission' occurring in less than 1% of the barangays and the majority of barangays being classified as 'malaria prone' , with a population of 2,675, and Mabuno , with a population of 2,640. Both barangays had been malaria hotspots Table . MicroscClose examination of case reports revealed that in Antagan, the malaria cases were mostly male (92%), from 11 to 30 years (77%), occupational loggers (53%) or farmers (32%), and that 65% of all cases occurred during the months of June and July, coinciding with the planting season of rain-fed crops in the hills. Men staying out in the hills to plant and cultivate these crops during the rainy season, or to log trees, are apparently at risk to be infected with malaria, because these are the known habitats where the main mosquito vectors breed. Hence, it is likely that the remaining malaria transmission in Antagan occurred not within the barangay proper but out in the hills. The causes of the recent drop in cases need further investigation.Conversely, in Mabuno, malaria cases did not decline even with high coverage of LLINs and IRS. Here, the majority of cases were indigenous people, living in make-shift houses in the foothills, which were areas not covered under recent LLIN-distribution campaigns, and reporting to the barangay health centre for treatment when they were ill. This suggests that transmission has continued among indigenous people living unprotected from infectious bites outside of the barangay proper.The examples of Antagan and Mabuno indicate that information other than basic epidemiological data was important for evidence-based decision-making. Entomological data and information on personal protection behaviour among those staying in the foothills could help adapt the malaria control strategy to achieve further reductions in disease incidence. For example, increased attention could be paid to mobile indigenous populations and temporary agricultural workers, developing appropriate control methods , and targeting the interventions at times and places when and where these groups are most at risk of malaria transmission. Also, entomological surveillance to confirm the absence of malaria vectors within the barangay proper will help improve the efficient allocation and use of resources for vector control and personal protection.Summing up, the case from Cagayan Valley demonstrates a model for planning and adapting malaria control strategies to the epidemiological situation in each barangay. The benefits of micro-stratification were three-fold: it resulted in more efficient use of resources; it allowed for more in-depth understanding about malaria transmission within the barangay; and, it stimulated the involvement of local leaders. An important lesson is that this model could be improved further by collecting entomological data and determining which sections of society are most at risk of malaria transmission.The municipality of Mati City has been affected by both malaria and dengue. Malaria control has been well structured through the National Programme, with support from the Roll Back Malaria Project and Global Fund for case finding, treatment, and vector control through LLINs and IRS as well as capability building for local health staff and volunteers. These efforts were accompanied by a decline in malaria prevalence during the period 2005-2010 , began to organize weekly clean-up drives and conduct vector larval surveillance at monthly intervals. Second, a disease surveillance unit was created to enact and coordinate weekly reporting of cases of all notifiable diseases, including vector-borne diseases, from the city's two hospitals and from all 26 barangay health centres. These two measures helped safeguard the regular allocation in City budgeting for the detection and control of vector-borne diseases, notably dengue. In addition, in 2011, the City mayor's office began sponsoring the rapid deployment team, driven in part by the economic burden of dengue, due to costs incurred by the mayor's office for transport, treatment and referral of dengue cases to specialized hospitals.In the event of an increase in dengue cases or a local dengue outbreak, the relevant agencies were alerted to respond. The response consisted of intensified health promotion and weekly rounds of vector surveillance and concomitant source reduction in 100 houses in the vicinity of detected cases. The weekly rounds were repeated for up to 10 times, until the 'house index' (i.e. % of houses being positive for dengue breeding) dropped below the locally set threshold margin of 2-5% and the 'Breteau index' (i.e. the number of positive containers per 100 houses) dropped below the value of 20 . Hence, Aedes larvae are found on their compound. The resolution was adopted by the entire barangay, and the generated income went into a trust fund to treat dengue patients.There were other partners in vector control. The department of education created their own vector control task force with monitoring by brigades at schools. Moreover, barangay chiefs and councillors, having been among those trained on dengue prevention, provided support for health promotion and clean-up drives, issued permits to search people's compounds for vector breeding sites and, in one instance, formulated policy. After four child deaths due to dengue in one sub-barangay in 2009, the local councillor introduced a resolution that households must pay a fine of 50 pesos if Hence, the case of Mati shows how in-kind contributions for malaria control benefited dengue control activities through a joint malaria-dengue system of detection and vector control response. Even though dengue was the only prevalent vector-borne disease at the time of the case study, the system was prepared to respond to outbreaks of malaria and other diseases, thus increasing the efficiency as compared to single-disease systems. To safeguard the operational sustainability, the detection and response system was integrated within the health infrastructure. Cases of dengue fever dropped from 185 in 2010 to 108 in 2011; the coming years will show whether the strategy leads to a further reduction in disease cases and whether the political commitment can be sustained.sitios in a poorly accessible mountainous area. Sporadic cases of lymphatic filariasis were reported in the past, but dengue has been absent.Buenavista municipality has been relatively free from malaria, with the exception of a pocket of 'stable transmission' of malaria around Simbalan, a barangay composed of a number of scattered sub-barangays or sitios, and in that year the number of confirmed malaria cases was determined at 490 . In recent years, full coverage of the population with insecticidal nets has been achieved, whereas IRS was started in 2010 in the western-most part of the barangay where transmission risk through imported cases was considered to be highest. The number of malaria cases dropped to zero and evaluation of bed net utilization . Hence, surveillance data were readily utilized. Nevertheless, gaps remained in the evidence base needed for decision-making on vector control. Particularly, data on the cost-effectiveness of stream clearing against irostris , and on irostris ,27, wereng sites , and by ng sites .An integrated approach to vector control, aiming to improve the rational use of resources, was evident in the case of Mati where elements of a multi-disease strategy of detection and response had been established Table . Also, tCollaboration on vector control can improve operational efficiency within the health sector and lead to reduced disease risks in other sectors. Collaboration within the health sector was apparent from the involvement of barangay health workers in vector-borne disease control in each case study, but was most obvious in Mati, where the job descriptions of barangay health emergency response teams were modified and staff reoriented towards vector control and where a central unit was created for weekly surveillance of notifiable disease cases, including vector-borne disease cases Table . Health Advocacy and social mobilization were common features in each case study Table . SpecifiCapacity building is a major challenge to the improvement of vector control systems. The case examples indicate that a national strategy for capacity building on detection and diagnosis of malaria was in place, but competencies on situational analysis and vector surveillance appeared to be inadequate. These aspects should be addressed in national policy and guidelines.Considering the current reliance on external funding support, the operational sustainability of vector control remains uncertain. It will be particularly challenging to sustain vector control during and beyond the elimination of disease, after the public health problem has diminished -8; howevThe case studies have suggested several other mechanisms to sustain vector control: integration within the health sector, involvement of local authorities, and empowerment of communities. In Mati, financial support for dengue control was coming to an end, which prompted the municipal health authorities to incorporate dengue control within their health system, utilizing local infrastructure and safeguarding regular allocation of funds for vector-borne disease control in local budgeting. Yet, many municipalities with dengue prevalence may lack such resources and, thus, sufficient national funds should be allotted to the control of this neglected disease.bayanihan, a common tradition in Philippine towns [The engagement of barangay leaders and existing community structures helped mobilize local resources and voluntary services for vector control. Barangay authorities and the community in Simbalan were actively involved in the planning, implementation and evaluation of malaria control actions, indicative of local programme ownership. Moreover, their vision statement to become independent from external resources for malaria control is particularly relevant in the context of malaria elimination because continued commitment to surveillance and outbreak response will be needed . Neverthne towns . This suMicro-stratification based on epidemiological data resulted in improved efficiency of disease control operations, but should be accompanied by further capacity building on the selection and targeting of vector control interventions at barangay-level. The case studies suggested several mechanisms to improve operational sustainability of vector control: integration within the health sector, a multi-disease malaria-dengue approach, involvement of local authorities, and empowerment of communities. Local programme ownership on vector-borne disease control could potentially be replicated if adequate training and guidance are given.LLIN: Long-lasting insecticidal nets; IRS: Indoor residual spraying; ITN: Insecticide-treated nets; IVM: Integrated vector management; RDT: Rapid diagnostic test; SARS: Severe acute respiratory syndrome; WHO: World Health Organization.The authors declare that they have no competing interests.HvdB, RV, AE, BHGC, RT, MT and JH all participated in field visits and data collection. JH conceptualized the study. HvdB analysed and interpreted the data and drafted and revised the manuscript. JH, RV, BHGC, AE, RT and MT contributed to revising the manuscript. All authors have read and approved the final manuscript."}
+{"text": "The gamma-secretase complex is an intramembrane aspartyl protease comprised of at least four known subunits: Presenilin (PS), Nicastrin (Nct), Aph, and Pen2. Presenilin is the catalytic subunit of the complex. Mutations in PS1 and PS2, which lead to familial early-onset Alzheimer disease, alter the activity and specificity of gamma-secretase. Investigation of gamma-secretase specificity and development of gamma-secretase based therapies have been a huge challenge because of its nature of intramembranal catalysis and macromolecular complex as well as cleavage of multiple substrates. We have developed an integrated approach of biochemistry, chemical biology and cell biology for the study of gamma-secretase structure and function. We will discuss how to apply this approach to elucidate the role endogenous and exogenous factors in regulation of gamma-secretase. We will focus on the development of chemical probes and utilize them to define the mechanism of action of gamma-secretase modulators."}
+{"text": "Integrated analysis of both methods highlighted the extensive impact of moderate-severe LBP, the paucity of effective interventions, the pivotal nature of the midwife-patient relationship, and physiotherapists\u2019 concerns about using acupuncture for pregnant women, despite their use of it for other musculoskeletal problems. Results informed phase 2 in terms of patient information, recruitment and consent procedures. They also helped shape the training programme for physiotherapists delivering the interventions, to directly address issues of safety and side effects. Findings highlight the role mixed methods can play in preparing for randomised trials and ensuring they are sensitive to the needs of patients and practitioners. The phase 2 pilot trial is currently underway.EASE BACK is an NIHR HTA funded feasibility pilot trial to inform a large randomised trial evaluating the clinical and cost-effectiveness of acupuncture for pregnant women with low back pain (LBP). Mixed methods were employed to generate a breadth of data. In phase 1, interviews and focus groups explored the views of pregnant women with LBP about the acceptability of the proposed interventions, the content and delivery of participant information, important outcomes, and timing of outcome measurement; and the views of health professionals (midwives and physiotherapists) about standard care, using acupuncture for this patient group, proposed trial design, and recruitment methods. A total of 52 individuals were interviewed. In addition, a postal survey of UK based physiotherapists was undertaken (response rate 57.5%:"}
+{"text": "Its unparalleled in vivo and quantitative capabilities offer a broad range of applications covering from noninvasive morphologic measurements, tissue microstructural characterization, hemodynamic and vascular characterization, metabolite measurements, sub-system physiologies, brain functions to monitoring of cell migrational dynamics. This presentation will illustrate these technological developments with some of the ongoing rodent brain MRI projects in our laboratory, highlighting the capacity of MRI as a platform technology to visualize the central nervous system (CNS) in vivo from molecules to systems levels. They include diffusion characterization of neural tissue microstructure; functional study of molecular pathways by spectroscopy; functional study of brain development and injury; monitoring of endogenous neural stem cell activities; and novel contrast agents for brain imaging.With advances in engineering and computing, an extraordinary body of imaging technologies and applications has developed over the last 35 years. One of the most important applications of such technologies is the study of anatomy, physiology, pathology and functions in humans and animal models of human development and diseases. Among the various"}
+{"text": "To the Editor: Norovirus (NoV), the distinct genus within the family Caliciviridae, is a major cause of sporadic cases and outbreaks of acute gastroenteritis in humans . Polymerase chain reaction with specific primers resulted in the identification of astrovirus, rotavirus, sapovirus, adenovirus, and NoV genogroup I (GI) and GII successful co-infection of a single host, 2) successful co-infection of a single cell, 3) efficient replication of both parental strains, 4) template switching, and 5) purifying selection (The NoV capsid is predicted to be well suited for genotype classification (In conclusion, our results described the genetic characterization of novel, naturally occurring recombinant NoV and increased evidence for the worldwide distribution of recombinant NoV. This report is the first to describe acute gastroenteritis caused by recombinant NoV in China and warns of the threat it poses."}
+{"text": "Although obesity is a risk factor for many chronic diseases, we have only limited knowledge of the magnitude of these associations in young adults. A multiethnic cohort of young adults was established to close current knowledge gaps; cohort demographics, cohort retention, and the potential influence of migration bias were investigated.For this population-based cross-sectional study, demographics, and measured weight and height were extracted from electronic medical records of 1,929,470 patients aged 20 to 39 years enrolled in two integrated health plans in California from 2007 to 2009.The cohort included about 84.4% of Kaiser Permanente California members in this age group who had a medical encounter during the study period and represented about 18.2% of the underlying population in the same age group in California. The age distribution of the cohort was relatively comparable to the underlying population in California Census 2010 population, but the proportion of women and ethnic/racial minorities was slightly higher. The three-year retention rate was 68.4%.These data suggest the feasibility of our study for medium-term follow-up based on sufficient membership retention rates. While nationwide 6% of young adults are extremely obese, we know little to adequately quantify the health burden attributable to obesity, especially extreme obesity, in this age group. This cohort of young adults provides a unique opportunity to investigate associations of obesity-related factors and risk of cancer in a large multiethnic population. In 2007Managed care systems are a unique system to study associations between rare outcomes in young adults due to their large populations and the potential for long passive follow-up periods. However, lack of generalizability due to healthy worker bias and the potential loss of subjects in epidemiologic studies using members of managed care systems are of concern because these factors can be a major of source of bias. Study subjects may lose their health insurance coverage or migrate out of the coverage area but also may re-enroll based on their employment status or other financial decisions and life events. If subjects who leave the health plan are systematically different from those who remain in the health plan in terms of exposure and the association with health outcomes, the estimates of association between exposure and outcome may be systematically biased. The potential of bias exists in all epidemiologic studies due to low and selective responses to recruitment attempts, survey fatigue, migration of subjects, and other factors. However, the control of this bias can be addressed through careful study design and interpretation of the data. As part of the study design, the potential existence of such bias has to be acknowledged, appropriate measures to assess such bias have to be made, and potential effects of such bias for direction and magnitude have to be estimated. Therefore, these potential biases are extremely important to understand.The long-term goal of this large prospective cohort of young adults is to investigate the relationship between weight class, metabolic syndrome, diabetes, and obesity-related cancers and their risk factors. The analyses presented here show the detailed cohort demographics, as well as cohort retention and the potential influence of migration bias.The present project was initiated to study the consequences of obesity in young adults (OBAYA) including cancer and leverages the resources of the Cancer Research Network (CRN), an ongoThe cohort is followed by passive follow-up through linkage with data extracted from the KP electronic health records. Information on occurrence of cancers comes from linkage of cohort members to KPNC and KPSC tumor registries, which are compliant with data requirements of the NCI Surveillance, Epidemiology, and End Research (SEER) Program and the North American Associations of Central Cancer Registries (NAACCR). Additional data come from probabilistic linkage to the National Death Index (NDI) and to the state cancer registry. The maximum follow-up on December 31, 2010 was four years, the minimum being one year.The study used information that is routinely assessed during most ambulatory and hospitalization visits. This information captures administrative datasets containing membership and benefit information including all medical encounters at Kaiser Permanente facilities, out-of-system claims, laboratory and radiology test results, and dispensed prescription pharmaceuticals. The address information is routinely geocoded to the census block level, providing the ability to link to census-based group-level socioeconomic information. Laboratory data are also available from electronic medical records. Using the cohort members\u2019 unique medical record numbers, incident diseases can be identified from electronic records, internal disease registries such as the cancer registry, and also from the state cancer registry and state death files.Body weight and height are routinely measured during almost every medical encounter and were extracted from the electronic health records. BMI was calculated as weight (kilograms) divided by the square of the height (meters). Based on a validation study including 15,000 patients with 45,980 medical encounters, the estimated error rate in body weight and height data was <0.4%[th, 2011).Population counts for California were retrieved from Census 2010 data for California for individuals who were 20 to 39 years of age , linkage with state death files (restricted to death cases), and linkage with state cancer registries (restricted to those who remain in the state and limited to cancer diagnosis).Planned future research on the young adult cohort will develop these quality measures in order to identify person-level characteristics associated with both variations in services related to cardiovascular disease, diabetes, and cancer in young obese adults and variations in the care they receive and its consequences for incident morbidity, mortality, and health care utilization. This planned research will also examine differences in the effectiveness of that care in demographically and medically defined subpopulations.BMI: Body Mass Index; CRN: Cancer Research Network; NCI: National Cancer Institute; KPNC and KPSC: Kaiser Permanente Northern and Southern California; KP: Kaiser Permanente; IRB: Institutional Review Board; NCI: National Cancer Institute; SEER: NCI Surveillance Epidemiology, and End Research; NAACCR: North American Associations of Central Cancer Registries; NDI: National Death Index.Lawrence H Kushi reports a relevant relationship as Adjunct Professor at the UC Davis Medical School, which is not his primary employment.Design and conduct of the study: CK, LHK; Collection, management, analysis and interpretation of data: CK, LHK, NS, MPM, KH, HAC, AEW; Preparation of the manuscript: CK, MPM, NS; Critical revision of the manuscript for important intellectual content: LHK, KH, HAC, AEW. All authors read and approved the final manuscript."}
+{"text": "Optimization of the clinical care process by integration of evidence-based knowledge is one of the active components in care pathways. When studying the impact of a care pathway by using a cluster-randomized design, standardization of the care pathway intervention is crucial. This methodology paper describes the development of the clinical content of an evidence-based care pathway for in-hospital management of chronic obstructive pulmonary disease (COPD) exacerbation in the context of a cluster-randomized controlled trial (cRCT) on care pathway effectiveness.The clinical content of a care pathway for COPD exacerbation was developed based on recognized process design and guideline development methods. Subsequently, based on the COPD case study, a generalized eight-step method was designed to support the development of the clinical content of an evidence-based care pathway.A set of 38 evidence-based key interventions and a set of 24 process and 15 outcome indicators were developed in eight different steps. Nine Belgian multidisciplinary teams piloted both the set of key interventions and indicators. The key intervention set was judged by the teams as being valid and clinically applicable. In addition, the pilot study showed that the indicators were feasible for the involved clinicians and patients.The set of 38 key interventions and the set of process and outcome indicators were found to be appropriate for the development and standardization of the clinical content of the COPD care pathway in the context of a cRCT on pathway effectiveness. The developed eight-step method may facilitate multidisciplinary teams caring for other patient populations in designing the clinical content of their future care pathways. Standardization of the clinical care process through integration of evidence-based knowledge has proven to be an effective strategy for reducing unwanted variations in treatment and for minimizing the probability of medical errors . HoweverA possible tool to facilitate implementation of evidence into practice is a care pathway. Care pathways are complex interventions for mutual decision making, organization, and standardization of predicTable care for a well-defined group of patients during a well-defined period -8. One oCare pathways induce change at different levels of the organization ; consequently, variability at individual level outcomes may reflect the impact of higher-level complexity processes. To deal with these multilevel effects, cluster randomized designs are strongly recommended when studying the impact of care pathways ,11. ImpoIn 2009, the European Pathway Association (E-P-A) launched the European Quality of Care Pathways (EQCP) study, an international cRCT addressing the impact of a care pathway for chronic obstructive pulmonary disease (COPD) exacerbations [et al.[The clinical content of an evidence-based care pathway for COPD exacerbation was developed based on the process design methodology developed by Berry et al., and theet al., the Woret al. and the et al.. Subsequet al..A set of 38 evidence-based key interventions and a set of 24 process and 15 outcome indicators were developed in eight different steps. Both sets are displayed in Additional file The patient population under study was specified as \u2018Patients hospitalized with COPD exacerbation\u2019. To ensure clinical validity and feasibility of the end product, an expert panel was involved in each step of the development method. This panel was composed of the following: (i) three clinicians with internationally recognized clinical and scientific expertise in COPD exacerbations: a respiratory physician (MD) who is also president of the European Respiratory Society, a physiotherapist (TT) who specializes in pulmonary rehabilitation, and a clinical nurse specialist in COPD (CL); (ii) an epidemiologist (MP) who specializes in organization of primary and secondary chronic care; and (iii) two professors in patient care management who have extensive clinical and scientific expertise in development and implementation of care pathways ,18-21. ATo identify all available evidence for integration in the evidence-based COPD care pathway, an extensive literature review was conducted by the main researchers, CL and KV Figure . First, http://www.thoracic.org); British Thoracic Society (BTS) (http://www.brit-thoracic.org.uk); European Respiratory Society (ERS) (http://www.ersnet.org); Global Strategy for Diagnosis, Management, and Prevention of COPD (GOLD) (http://www.goldcopd.org); National Institute for Health and Clinical Excellence (NICE) (http://www.nice.org.uk); Scottish Intercollegiate Guidelines Network (SIGN) (http://www.sign.ac.uk); (II) Public resources for evidence-based clinical practice guidelines ; (III) electronic databases including Medline and Embase and Cochrane; (IV) available process flow diagrams founded on evidence-based medicine .The following resources were explored: (I) websites of international respiratory societies: American Thoracic Society (ATS) \u2018practice guideline\u2019, (ii) \u2018disease exacerbation and patient care management\u2019, and (iii) \u2018outcomes\u2019. For Embase, we used the MeSH terms \u2018chronic obstructive lung disease\u2019 combined with (i) \u2018practice guideline\u2019 and (ii) \u2018disease exacerbation and patient care\u2019, and (iii) \u2018outcomes\u2019. Non-MeSH terms used in Embase were \u2018COPD\u2019 in combination with \u2018exacerbation and management\u2019. Search limit parameters included: (i) published between 2005 and 2011, and (ii) written in English, French, German, Italian or Dutch.Second, we performed a two-phase screening evaluation of publications selected from websites of the respiratory societies, Map of Medicine and the electronic databases. In the first phase, publications were appraised for relevance based on appropriateness of the title and abstract. If relevance was unclear, or if the abstract was unavailable, the publication was included for further appraisal of the full text. In the second phase, two independent researchers (CL and KV) reviewed the full text of the selected guidelines, reviews or process flow diagrams. The following inclusion criteria were used: (i) reportage of clinical processes and outcomes regarding in-hospital management of COPD exacerbation; (ii) evidence was reported in terms of guidelines, process flow diagrams, reviews or overview papers; (iv) published between 2005 and 2011; (v) published in English, French, German, Italian or Dutch; and (vi) quality of underlying evidence can be appraised by in-text references. The literature research revealed initially three guidelines, one process flow diagram, and 2,939 digital records from the electronic medical databases and 10 of 21 outcome indicators (47.6%). Highest consensus was reached for the process indicators for oxygen therapy (100%), pulmonary rehabilitation (100%), and patient education (94.5 to 88.6%), and for the outcome indicators for understanding of therapy (91.4 to 85.7%) and self-management (88.6 to 88.2%) .First, the list of 58 extracted clinical activities (step 2), together with the Delphi results (step 3), were sent to the clinical experts of the panel with a request to complete two tasks: (i) to review the 58 identified activities for validity and feasibility; and (ii) if indicated, to propose any additional clinical activity they believe is essential for in-hospital management of COPD exacerbations and which is lacking in the current activity list of clinical activities. Second, a consensus meeting was held with the entire expert panel in order to make a final selection of the clinical activities. As a result, all 58 clinical activities were appraised to be valid and feasible. In addition, 19 clinical activities beyond the 58 original ones were included clinical activities are inextricably linked to each other ; (ii) clinical activities need to be performed by a specific team member ; (iii) clinical activities need to be performed at a specific time point or within a specific time span of the care process . As a result, the 77 clinical activities were clustered into 38 key interventions, with 9 of them comprising 2 to 15 subcomponents.Second, the key interventions were categorized into three core processes , and subsequently presented by means of a process flow diagram. In addition, within each of three core processes, key interventions were grouped into care blocks based on the overall content of these key interventions . The process flow diagram with the 38 key interventions is displayed in Additional file For each key intervention, the following components were included in the detailed description: (i) rationale, which addresses why it is of crucial importance that the key intervention is performed, and which describes expected impact on patient outcomes; (ii) description, which defines the exact content of the key intervention; (iii) in-text references and reference list; and (iv) grading of evidence. An example of a detailed description of a key intervention on arterial blood gas measurements is provided in Figure Besides the set of key interventions, a set of process and outcome indicators needed to be developed to verify compliance to key interventions and to follow up the impact on outcomes. First, to select the final set of indicators, the expert panel convened for a consensus meeting. The selection process was based on the (updated) literature search step 2), the Delphi survey (step 3), and the developed set of 38 evidence-based key interventions (step 5) . As a re, the Delhttp://www.qualitymeasures.ahrq.gov) and the Joint Commission (http://www.jointcommission.org), each indicator and baseline variable was defined in an indicator protocol by the main researcher (CL). This process included defining of description, rationale or relation to quality, type of indicator , nominator and denominator, data collection method, data elements, data reporting , criteria to meet expected outcomes, and references. An example of an indicator description is detailed in Additional file Subsequently, the selected indicators and baseline variables were operationalized into objective measurements . Based oThe set of 38 key interventions, and the set of 24 process and 15 outcome indicators, were piloted by nine Belgian experimental COPD teams in the context of the EQCP study . The mulSecond, during a workshop in which team members of all nine multidisciplinary COPD teams attended, the process flow diagram, including the 38 key interventions, was presented. Subsequently, all key interventions were extensively discussed. Third, the detailed set of key interventions was provided to the study coordinator of each hospital. We requested all members of the multidisciplinary COPD team to extensively review the key intervention set and subsequently to provide feedback within two weeks. As a result, the feedback given during the workshop and provided after extensive appraisal by all teams showed that teams were very enthusiastic about the process flow diagram and underlying key interventions. Moreover, they agreed by consensus that the set of key interventions was valid and applicable for use in their practice.However, the teams provided four main remarks regarding: (i) usefulness of spirometry during exacerbation because results may be inaccurate due to the compromised condition; (ii) feasibility of referral to pulmonary rehabilitation with regard to condition of the patient and availability of a rehabilitation center; (iii) type of inhaler medications and device ; and (iv) finally content, workload and feasibility of patient education. First, with regard to spirometry, no hard evidence about accuracy and, thus, usefulness of spirometric tests during exacerbation is available and, thus, no specific guidance on whether or not to perform spirometric tests could be provided to the teams. This issue was specifically emphasized in the detailed set of key interventions. Concerning pulmonary rehabilitation, all teams were convinced about the importance of referring patients to rehabilitation, and consequently, during the workshop some alternatives with regard to availability of a rehabilitation center were discussed. Finally, with regard to inhaler therapy and patient education, a teaching workshop was organized and education tools for COPD teams and ready-to-use patient leaflets were provided.Finally, the nine multidisciplinary COPD teams implemented the set of key interventions as an active component of their care pathway for in-hospital management of COPD exacerbation in the context of the EQCP study . Six monA set of 38 evidence-based key interventions for in-hospital management of COPD exacerbation was developed and pilot testing (step 8). However, results of the Delphi survey and piloting are essential to ensure that the key intervention set is widely, clinically applicable. This is especially important when conducting a cRCT, in which the \u2018same\u2019 care pathway intervention needs to be implemented by different teams at different sites and possibly in different countries . Teams dA surprising finding is that, based on review of the literature (Step 2), the Delphi study, and face-to-face expert opinion, advanced care planning was not included in the set of 38 key interventions. On one hand, this can be explained due to the focus on management of acute COPD exacerbation. On the other hand, it is essential that advanced care planning and end of life discussions are initiated in advance of a life threatening situation, which can arise after COPD exacerbation . TherefoAn important limitation in the current strategy is the lack of patient involvement . PatientWe believe that developing the clinical care pathway content by using this newly developed and validated eight-step method will facilitate adequate integration of evidence-based knowledge into daily practice. Since the beginning of the 1990s, evidence-based clinical practice guidelines for almost all domains of medicine have been available worldwide, accessible more recently via the Internet ,70,71. HFinally, we want to emphasize the potential role of professional medical associations in clinical content development for evidence-based care pathways. Many national and international societies have extensive clinical and research experience in the patient population of their clinical field, comprise a global network of experts in the field, have funding available and, last but not least, have comprehensive understanding and experience in synthesizing evidence-based knowledge and making this knowledge usable for daily clinical practice. Therefore, we believe that professional societies could play a major role in developing the clinical content of future evidence-based care pathways, especially in terms of clinical support, expert networking and input of resources.The set of 38 key interventions and the set of process and outcome indicators were found to be appropriate for the development and standardization of the clinical content of the COPD care pathway in the context of a cRCT on pathway effectiveness. The developed eight-step method may facilitate multidisciplinary teams caring for other patient populations in designing the clinical content of their future care pathways.1: Forced expiratory volume in one second; FVC: Forced vital capacity; GOLD: Global Strategy for Diagnosis Management, and Prevention of COPD; HICPAC: Healthcare Infection Control Practices Advisory Committee; HRQL: Health-related quality of life; LOS: Length of stay; LTOT: Long-term oxygen therapy; NICE: National Institute for Health and Clinical Excellence; QALY: Quality-adjusted life expectancy measure; SIGN: Scottish Intercollegiate Guidelines Network; WHO: World Health Organization.ABGs: Arterial blood gases; ACCP: American College of Chest Physicians; ATS: American Thoracic Society; BMI: Body mass index; BTS: British Thoracic Society; COI: Cost of illness; COPD: Chronic obstructive pulmonary disease; cRCT: Cluster randomized controlled trial; DALY: Disability adjusted life years; E-P-A: European Pathway Association; EQCP: European Quality of Care Pathways; ERS: European Respiratory Society; FEVThe authors declare that they have no competing interests.CL KV, WS, SD and MP contributed to the draft and the final version of the paper. MD supervised and was closely involved in the development of the clinical content of the care pathway intervention. MP, KV and WS have the scientific lead of the EQCP study. KV is international coordinator of the EQCP study. All authors have read and approved the final manuscript.Process flow diagram for in-hospital management of COPD exacerbation. This Additional file displays a process flow chart including 38 key interventions that should be performed for every patient entering the hospital with COPD exacerbation. The key interventions are classified under three core processes: Diagnostic, Pharmacological and Non-pharmacological management.Click here for fileSet of Process and outcome indicators for in-hospital management of COPD exacerbation. This Additional file displays a set of validated process and outcome indicators for audit of care for in-hospital management of COPD exacerbation.Click here for fileExample of description of an indicator. This Additional file displays the detailed description of an indicator according to the guidance of the Agency for Health Care Research and Quality and the Joint Commission (http://www.jointcommission.org).Click here for file"}
+{"text": "Background: Legislation and regulation of pesticides used in public health are essential for reducing risks to human health and the environment.Objective: We assessed the global situation on legislation and regulatory control of public health pesticides.Methods: A peer-reviewed and field-tested questionnaire was distributed to 142 member states of the World Health Organization (WHO); 113 states completed the questionnaire.Results: Legislation on public health pesticides was absent in 25% of the countries. Where present, legislation often lacked comprehensiveness, for example, on basic aspects such as labeling, storage, transport, and disposal of public health pesticides. Guidelines or essential requirements for the process of pesticide registration were lacking in many countries. The capacity to enforce regulations was considered to be weak across WHO regions. Half of all countries lacked pesticide quality control laboratories, and two-thirds reported high concern over quality of products on the market. National statistics on production and trade of pesticides and poisoning incidents were lacking in many countries. Despite the shortcomings, WHO recommendations were considered to constitute a supportive or sole basis in national registration. Also, some regions showed high participation of countries in regional schemes to harmonize pesticide registration requirements.Conclusions: Critical deficiencies are evident in the legislative and regulatory framework for public health pesticides across regions, posing risks to human health and the environment. Recent experience in some countries with situational analysis, needs assessment, action planning, and regional collaboration has signaled a promising way forward. Major vector-borne diseases such as malaria, lymphatic filariasis, dengue, leishmaniasis, Chagas disease, and Japanese encephalitis, as well as nuisance pests in and around human habitations, cause tremendous suffering and impede the alleviation of poverty and constrain economic development. Thus, attaining the United Nation\u2019s Millennium Development Goals is diffiInternational Code of Conduct on the Distribution and Use of Pesticides [Food and Agriculture Organization of the United Nations (FAO) 2005], hereafter referred to as the Code of Conduct, and two recent World Health Assembly (WHA) resolutions, WHA 63.25 and 63.26 ]. This is a response rate of 80% of the number of targeted countries PDFClick here for additional data file."}
+{"text": "Governance and leadership in health development are critically important for the achievement of the health Millennium Development Goals (MDGs) and other national health goals. Those two factors might explain why many countries in Africa are not on track to attain the health MDGs by 2015. This paper debates the meaning of 'governance in health development', reviews briefly existing governance frameworks, proposes a modified framework on health development governance (HDG), and develops a HDG index.et al also does not include macroeconomic and political stability as a separate principle. The Siddiqi et al framework does not propose a way of scoring the various governance domains to facilitate aggregation, inter-country comparisons and health development governance tracking over time.We argue that unlike 'leadership in health development', 'governance in health development' is the sole prerogative of the Government through the Ministry of Health, which can choose to delegate (but not abrogate) some of the governance tasks. The general governance domains of the UNDP and the World Bank are very pertinent but not sufficient for assessment of health development governance. The WHO six domains of governance do not include effective external partnerships for health, equity in health development, efficiency in resource allocation and use, ethical practises in health research and service provision, and macroeconomic and political stability. The framework for assessing health systems governance developed by Siddiqi et al's framework to make it more relevant to the broader concept of 'governance in health development' and to the WHO African Region context.This paper argues for a broader health development governance framework because other sectors that assure human rights to education, employment, food, housing, political participation, and security combined have greater impact on health development than the health systems. It also suggests some amendments to Siddigi A strong case for broader health development governance framework has been made. A health development governance index with 10 functions and 42 sub-functions has been proposed to facilitate inter-country comparisons. Potential sources of data for estimating HDGI have been suggested. The Governance indices for individual sub-functions can aid policy-makers to establish the sources of weak health governance and subsequently develop appropriate interventions for ameliorating the situation. An Editorial in the African Journal of Health Sciences delved into the 'The essence of leadership in health development' . HoweverThe World Health Report 2000 dictionaUnlike stewardship, governance is the sole prerogative of a national government, i.e. the executive policy-making body that exercises political authority over a country. A government through its system(s) rules or governs a country. HarperCollins dictionaThe United Nations Development Programme (UNDP) five principles of good governance include: legitimacy and voice (participation and consensus orientation), direction (strategic vision), performance , accountability (and transparency), and fairness .The World Bank's three clusters (with six domains) of governance include: processes by which those in authority are selected and replaced ; ability of government to formulate and implement sound policies (government effectiveness and regulatory burden); and respect of citizens and the state for institutions which govern their interaction (rule of law and control of corruption) .The World Health Report 2000 [The slightly amended World Health Organization health set al [et al [Siddiqi et al frameworl [et al frameworet al [The governance domains of the UNDP and the World Bank are very pertinent but not sufficient for assessment of health development governance. That is understandable since they were developed for assessing general governance. The WHO six domains of governance do not include effective external partnerships for health, equity in health development, efficiency in resource allocation and use, ethical practises in health research and service provision, and macroeconomic and political stability. Siddiqi et al also doeIn this paper we are arguing for a broader health development governance framework. Why? This is because of the fact that other sectors that assure human rights to education, employment, food, housing, political participation, and security combined have greater impact on health development than the health systems. For example, the significant negative impact of political and macroeconomic instability on health development has been starkly demonstrated in the diminished health indicators of the African countries that have undergone various forms of political and macroeconomic turmoil.et al [et al's framework to make it more relevant to the WHO African Region context.Siddiqi et al does notet al [Table et al refers tet al [Third, community participation and responsiveness function has four sub-functions, i.e. participation in NHP and NHSP development process, participation in NHSP implementation, participation in tracking progress in implementation of NHSP, and responsiveness to community's legitimate non-medical expectations -14. Siddet al principlFourth, effective internal and external partnerships for health function has ten sub-functions, namely: inter-sectoral action ,16, publFive, horizontal and vertical equity in health systems function has three sub-functions, i.e. horizontal equity in access of health services -20, vertEight, evidence-based decision-making function has four sub-functions, i.e. national health research systems ,32; healTen, macro-economic and political stability function is divided into three sub-functions, i.e. link between national economic development plan (NEDP) , PovertyThe health development governance (HDG) framework discussed above has 10 functions and 42 sub-functions. Each of the functions can be measured using a governance thermometer scale of 0% (very poor) to 100% (excellent) such as leadership responsibilities, existence of health-related legislation, inter-sectoral action, horizontal equity, allocative efficiency, existence of transparent results-oriented reporting and assessment frameworks, bioethics review system, national health research systems, etc.For example, the Leadership Responsibilities index (LR) can be expressed as follows:where LRI is the leadership responsibility index, Actual (LR) is the actual Leadership Responsibility score, Minimum (LR) is the minimum leadership responsibility score, and Maximum (LR) is the maximum leadership responsibility score. For example, assuming the global minimum leadership responsibility score and the global maximum responsibility scores are set equal to 0% and 100% respectively and the actual leadership responsibility score for a hypothetical country in Table The indices for each of the remaining 41 sub-functions can be calculated in a similar manner. And once individual sub-functions indices have been obtained, the overall Health Development Governance Index (HDGI) can be obtained using the following formula:where Since governance is measured on a scale of 0 (or 0%) to 1 (or 100%), the above HDGI of 0.35 implies that the health development governance in this hypothetical country is below average. If instead, the hypothetical country's HDGI was 50%, it would have signified average health development governance. The above formula is similar to that used by the United Nations Development Programme in calculating the Human Development Index . In realThe Governance indices for individual sub-functions can aid policy-makers to locate the sources of poor governance and then to develop appropriate interventions for ameliorating the situation. Those indices could be conducted every two or three years among all countries in the WHO African Region. Therefore, every two or three years, the WHO Regional Committee Ministers of Health from the African Region can have peer review. Since Regional Committee meets every year, there would be no additional cost for organizing the peer review sessions. Such peer review mechanisms would motivate countries to improve health development governance and also share good practises.Countries that choose to estimate the HDGI may need to set up a national multi-disciplinary stakeholder Technical Working Group (TWG) to assess the current status of HDG. In addition, they might consider establishing a Steering Committee (SC) to oversee and facilitate the work. The TWG ought to be made up of appropriately qualified staff from all relevant sectors and programmes that deal with the ten functional domains of HDG. It is critically important for all relevant government sectors , health development partners, civil society organizations, and private health sector to be represented in both the TWG and SC. Wide participation will ensure that the results will be used to improve national HDG.Public health leadership and management: Comprehensiveness of the NHP and NHSP can be assessed by reviewing the two documents against the WHO/AFRO guidelines [Table idelines . The datExistence of health-related legislation can be assessed through review of existing health-related laws. The questions for assessing level of enforcement of health-related legislation may be included in the survey questionnaire for public health leadership and management.Firstly, data for use in assessing the level of community participation in formulation of NHP/NHSP and monitoring their implementation can be generated through administration of a questionnaire among parliamentarians and civic leaders or administrative leaders, e.g. chiefs. Secondly, responsiveness of health service providers to communities' non-medical expectations can be assessed through administration of responsiveness module of the World health survey questionnaire among saFirstly, data for assessing inter-sectoral action can be generated from in-depth interview with either prime minister's or president's office, depending on who chairs the cabinet. Secondly, review of health-related legislation and interviews with leaders of faith-based and private-for-profits health services providers can yield information on the extent to which legislative and policy environment fosters public-private partnerships.Thirdly, interviews with Ministry of Finance and health development partners could yield information on percentage of aid flows for health development channelled through general government budget support. Fourthly, interviews with ministries of health would yield information on the existence of sector-wide approaches, multi-donor steering committees or equivalent donor coordination mechanisms.th March 2011, about 30 WHO African region countries had reports on the PEFA Secretariat website. Where such information does not exist, there may be need to conduct assessment using the PEFA framework [Fifthly, the Public Expenditure and Financial Accountability (PEFA) initiative reports ramework .Information on whether there has been sufficient integration of global programmes and initiatives into NHSP can be obtained by conducting interviews with Directors of Policy and Planning at Ministry of Health, health sector focal persons in Ministries of Finance, and country representatives of GAVI and GFATM.The data needed for accountability and transparency in health development should be collected together with that on effective international and external partnership.et al [Estimation of health inequality requires data on health variables (e.g.) and ordinal living standards measure . Equity et al is an exet al .Malmquist total factor productivity analyses have been carried out in continental Africa national health systems [Estimation of technical efficiency (TE) requires data on quantities of health system inputs, e.g. numbers (or time) of different cadres of health workforce, annual expenditure on pharmaceuticals, annual expenditure on non-pharmaceutical supplies, number of hospital beds; and volume of health service outputs, e.g. number of outpatient curative visits, outpatient preventive visits, community health outreach activities, inpatient admissions, inpatient discharges, and hospital deaths. In order to estimate allocative efficiency (AE), information on average inputs prices is needed in addition to data needed for TE. Calculation of productivity change requires all abovementioned input and output data for a number of time periods, e.g. a number of years. In the African region TE studies have been undertaken in Benin , Burkina systems , Angola systems , Botswan systems , Seychel systems and Sout systems . Therefo systems ,64.Firstly, the national health research systems analysis (HRSA) data can be obtained through review of existing HRSA reports. Where such data does not exist, it can be obtained through an assessment of national health research systems using HRSA toolkit -67. SecoData on dissemination of international ethical guidelines for medical practise and health research, bioethics review system, and institutionalization of ethics training should be collated simultaneously with that on HRSA (mentioned above) and using the same toolkit . The modFirstly, the linkage between NEDP, PRSP and NHP/NHSP can be ascertained through a review of those documents. Secondly, a review of Medium-Term Expenditure Framework (MTEF) document will help to determine whether it contains a clear health component derived from NHSP. Finally, a review of the national constitution and in-depth interview with chairperson of the national legal bar association can facilitate identification of the extent to which a non-violent process exists by which those in authority are elected and replaced. This information can be complemented with a review of data on the Economist Intelligence Unit Democracy Index and the The weak governance and leadership in health development might explain why many countries in Africa are not on track to attain the health MDGs by 2015 ,70,71. TOne of the possible reasons for inadequate governance and leadership in health development in Africa is largely because many health leaders and managers, at various levels of national health systems, were never trained to govern and lead. Thus, whereas they may have had very good training on disease prevention and control, their curricula might not have featured training on governance and leadership. Therefore, there may be need to revise the curricula of schools of public health, medical schools, nursing schools and other schools of health sciences in Africa to reflect the recent developments in health systems performance assessment, including leadership and governance. In addition, leadership and governance should feature prominently in the continuing education programmes for medical and public health practitioners which are organized by the national professional associations .The list of abbreviations include: AE: Allocative efficiency; CTP: Household's capacity to pay; DHS: Demographic and Health Surveys; GAVI: The Global Alliance for Vaccines and Immunization; GFATM: Global Fund to Fight AIDS, Tuberculosis and Malaria; HDG: Health development governance; HDGI: Health Development Governance Index; HDGSFI -Health development governance sub-function index; HE: Household expenditure on health; HFC: Health fairness in financial contribution; HKMS: Health knowledge management systems; HRSA: National health research systems analysis; ICT: Information, communication and technology; LR: Leadership Responsibilities index; LSMS: Living Standards Measurement Study; MDGs: Millennium Development Goals; MICS: Multiple Indicator Cluster Surveys; MTEF: Medium-term expenditure framework; NEDP: National economic development plan; NHIS: National health information system; NHP: National health policy; NHSP: National Health Strategic Plan; PEFA: Public Expenditure and Financial Accountability; PRSP: Poverty Reduction Strategy Paper; SC: Steering committee; TE: Technical efficiency; TWG: Technical Working Group; UNDP: United Nations Development Programme; WHO/AFRO: World Health Organization Regional Office for Africa; and WHS: World Health Surveys.The authors declare that they have no competing interests.JMK and DGK contributed equally to the design, analysis and writing of various sections of the manuscript. Both authors read and approved the final manuscript.JMK has a PhD in economics from the University of York, UK; MA and BEd in Economics from the University of Nairobi, Kenya; and a Diploma in health economics from the University of Tromso, Norway. DGK holds a MPH from the London School of Hygiene and Tropical Medicine, UK; and a PhD in Public Health from the University of New South Wales, Australia. Currently, JMK works at the World Health Organization, Regional Office for Africa, B.P. 06, Brazzaville, Congo. DGK is CDC/WHO Consultant, P.O. Box 529, Freetown, Sierra Leone."}
+{"text": "The risk of infection and epidemiological surveillance and control of legionellosis depends on the challenges of detecting the Legionella pneumophila DNA in the hospital environment.The aim was to compare the various hospital departments in according to the features of existence of L. pneumophila in the environment of hospitals.We conducted real-time PCR of 963 swabs from 40 objects of the environment, 156 samples of water from the centralized water supply and swimming pools in 27 departments of 10 healthcare setting in the Nizhny Novgorod Region.We have distinguished the following types of the departments.Type 1: territories of high risk of health-care associated legionellosis due to high susceptibility of patients, usage of artificial lung ventilation and moisturing the oxygen and air mixture. It includes intensive care units, surgical, obstetrical departments, operating theaters. Type 1 is characterized by the high contamination of environment by L. pneumophila DNA , by presence of reservoirs \u2013 the oxygen moisturizers and water taps , by a frequent isolation of Legionella pneumophila from water .Type 2: departments with patients suffering from outpatient pneumonias: therapeutic, pulmonological, thoracic departments. They are characterized by the low contamination of environment and a frequent isolation of L. pneumophila from water .Type 3: departments of high risk of nosocomial legionellosis. They have favorable conditions for L. pneumophila and air-borne mechanism of transmission by means of aerosol-producing facilities. They are balneological departments which have a high contamination of environment ; reservoirs of L. pneumophila such as the Jacuzzi, therapeutic baths and showers ; a rare isolation of L. pneumophila from water .That is, there are different types of hospital departments for the risk of legionellosis depending on the frequency of detection of Legionella DNA the hospital environment, data about patients, their treatment and diagnostics. Different departments require different approaches to organizing and conducting surveillance of legionellosis.None declared"}
+{"text": "One-third or more US adults, and similar numbers elsewhere, use complementary and integrative medicine (CIM). The results of previous systematic reviews of the economic impacts of CIM are limited and now out of date. The purpose of this comprehensive review is to capture and highlight for policy makers what is currently known about the economics of CIM, and to make recommendations for future research.PubMed, CINAHL, AMED, PsychInfo, Web of Science, and EMBASE were searched through December 2010 using a comprehensive search strategy. In addition, bibliographies were searched, and key researchers contacted. All full economic evaluations published 2001-2010 were also subjected to five study quality criteria and one indicator of whether the study\u2019s results were transferable .A total of 340 economic evaluations of CIM were found, of which 206, covering a wide variety of CIM for different populations, were published 2001-2010, and 134 of those were full economic evaluations. Despite the fact that most CIM users utilize more than one type of CIM, almost all (88%) of these studies were of single CIM therapies and only one evaluated coordinated care across CIM and conventional practitioners. Of the recent full evaluations 32 (24%) met all five study quality criteria, and 17 of these also met the minimum criterion for study transferability.This comprehensive review identified a substantial number of economic evaluations of CIM and emerging evidence of cost-effectiveness in at least a few clinical populations. Therefore, instead of more studies, what is actually needed are higher quality studies\u2014both in terms of enhanced study quality and better transferability (to increase the usefulness of results to other decision-makers in other settings). To this end, eight specific recommendations are made."}
+{"text": "Prevalence of childhood asthma has worldwide increased in recent decades. Different genome-wide studies have identified that more than 100 genes in 22 chromosomes were associated with asthma. Different genetic backgrounds in different environments might modulate the susceptibility of asthma. This has been attributed to industrialized environment such as air pollution and microbial-deprivation ecology that polarize the immune response towards allergy sensitization in perinatal stage. Recently, evidence has shown that allergy sensitization may occur in fetal life, and influence of fetal environment may cause epigenetic programming of diseases in adults. Apparently, asthma is not an exception from the Developmental Origins of Health and Diseases (DOHaD), in which both the pre- and postnatal environments could shape the developmental programming of asthma developed in infancy, childhood, and even adulthood.The association between prenatal environment and disease risk in adults is first demonstrated by Barker showing low birth weight was linked to ischemic heart disease in adult life in 1986 . They alIn this special issue, we included 8 papers depicting effects and potential mechanisms of perinatal environments including intrauterine growth trajectory, maternal exposure of cold and herb medication, perinatal exposure to pets, perinatal gut microbiota, bottle feeding, genetic determinant of cockroach allergy, interaction of parental atopy and genes, and gene-environment interactions on the development of asthma. These papers together have highlighted different epigenetic and genetic effects of perinatal environments and parental genetic backgrounds on the perinatal programming of asthma. As summarized from these articles and shown in Another review article on whether perinatal diets such as vitamins, polyunsaturated fatty acid, protein-hydrolyzed infant formula, or the time and types of complementary foods are protective from the development of asthma is not included in this issue because of its complex controversy and the paper submitted for this issue was not good enough for publication. Neither the hygiene hypothesis for the development of asthma nor the persistence and remission of childhood asthma in adolescents are included in this issue. This guest editor team including K. D. Yang, MD, PhD, from the Department of Medical Research and Development, Show Chwan Health Care System, Taiwan; S.-K. Huang, PhD, from Johns Hopkins Asthma Center, Johns Hopkins University, Baltimore, USA; H.-J. Su, PhD, from Department of Environmental and Occupational Health, College of Medicine, National Cheng Kung University, Tainan, Taiwan; J. Abe, M.D., Ph.D., from the Department of Allergy and Immunology, National Research Institute for Child Health and Development, Tokyo, Japan anticipates that another issue of perinatal programming of asthma including advances in the knowledge of DOHaD depicting influence of nutrition and hygiene on the development and remission of asthma will come not far in order to provide a prospect for early prediction and prevention of childhood asthma."}
+{"text": "All models harbor mutations in relevant tumor suppressors and/or cell-type specific expression of potent oncogenes, which initiate de novo carcinogenesis in the targeted tissues. In all these models deletion of cathepsin B led to suppression of the aggressiveness of the respective cancer phenotype. Cathepsin B is networking with other proteases as it was shown for cathepsin X/Z. In contrast, deletion of cathepsin L was beneficial in the RiP1-Tag2 model, but enhanced tumorigenesis in the APCmin, and the K14-HPV16 mice. A logical consequence of these results would be to further pursue selective inhibition of cathepsin B. Moreover, it became clear that cathepsins B and S derived from cells of the tumor microenvironment support cancer growth. Strikingly, delivery of broad spectrum cysteine cathepsin inhibitors in the tumor microenvironment disrupts the permissive ecosystem of the cancer and results in impaired growth or even in regression of the tumor. In addition, combination of cysteine cathepsin inhibition and standard chemotherapy improves the therapeutic response of the latter. Taken together, the next preclinical challenges for developing cathepsin inhibition as cancer therapy might be the improvement of inhibitor selectivity and targeted delivery to the tumor microenvironment and investigation of the biological context of the individual factors within the complex proteolytic network.Lysosomal cysteine cathepsins belong to a family of 11 human proteolytic enzymes. Some of them correlate with progression in a variety of cancers and therefore are considered as potential therapeutic targets. Until recently, the contribution of individual cathepsins to tumorigenesis and tumor progression remained unknown. By crossing various types of mouse cancer models with mice where specific cathepsins have been ablated, we contributed to this gap of knowledge and will summarize the results in this report. The employed models are the Rip1-Tag2 model for pancreatic neuroendocrine tumors, the K14-HPV16 model for squamous skin and cervical cancers, and the MMTV-PyMT model for metastasizing breast cancer, the KPC model for pancreatic ductal adenocarcinoma, and the APC Cysteine cathepsins are papain-like peptidases of which cathepsin B, C, F, H, L, K, O, S, V, W, X/Z have been identified in the human genome and are well defined in molecular, biochemical, and structural terms have been used to study the role of cathepsins in early stages of intestinal neoplasia (Moser et al., The focus of this review are studies, in which cathepsin knock-out or transgenic mice with overexpression of cathepsins have been crossed with transgenic mouse models of Hanahan, , the K14Hanahan, , and theHanahan, . All thrmin mice reduced formation of intestinal neoplasia (Gounaris et al., de novo tumorigenesis showed consistently that cathepsin B is a tumor-promoting protease and, therefore, a potential therapeutic target.Accumulating clinical and experimental data indicate that cathepsin B is a cancer-promoting protease (Poole et al., furless mice, which harbor a spontaneous active site mutation of cathepsin L, with APCmin mice increased the multiplicity of premalignant intestinal polyps significantly (Boudreau et al., min and K14-HPV16 models is an impressive example for the context-dependent consequences of a gene knock-out (Kruger, Single deficiencies for cathepsins B, L, S, and H perturbed the development of Rip1-Tag2 pancreatic islet cancers, while deletion of cathepsin C did not affect tumor progression in this model (Gocheva et al., Kruger, . The rea Kruger, . The relThe active roles of the tumor microenvironment in carcinogenesis and tumor progression have attracted considerable attention during the past decade. It emerged that tumor-promoting inflammation and induction of angiogenesis are hallmark characteristics of activated tumor stroma (for review, Hanahan and Weinberg, Overexpression and extracellular re-dislocation of cysteine cathepsins have been associated with multiple stages of tumorigenesis and tumor progression (Vasiljeva et al., Despite the important role of tumor cell-derived cathepsins in cancer progression, there is an increasing body of evidence confirming the up-regulation of cysteine cathepsins by macrophages in the tumor microenvironment, such as macrophages (Mohamed and Sloane, Taken together, the accumulated evidence in the literature strongly supports the concept of the use of cathepsins, in particular cathepsin B, as targets for cancer therapy targets. Therefore, inhibitors with improved pharmacokinetic properties and improved selectivity, possibly combined with appropriate delivery systems, and their use in combination with established chemotherapeutic treatment strategies, will have the potential to become valuable therapeutics for the treatment of metastatic malignant disease in the clinic.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Purpose of the study is to define the role of conventional radiology and MRI in the evaluation of pelvic floor hernias in female pelvic floor disorders.A MEDLINE and PubMed search was performed for journals before March 2013 with MeSH major terms 'MR Defecography' and 'pelvic floor hernias'.The prevalence of pelvic floor hernias at conventional radiology was higher if compared with that at MRI. Concerning the hernia content, there were significantly more enteroceles and sigmoidoceles on conventional radiology than on MRI, whereas, in relation to the hernia development modalities, the prevalence of elytroceles, edroceles, and Douglas' hernias at conventional radiology was significantly higher than that at MRI.MRI shows lower sensitivity than conventional radiology in the detection of pelvic floor hernias development. The less-invasive MRI may have a role in a better evaluation of the entire pelvic anatomy and pelvic organ interaction especially in patients with multicompartmental defects, planned for surgery. Pelvic floor disorders represent a significant cause of morbidity and reduction in quality of life that appear to be increasing in frequency during the last few years . PregnanPelvic floor disorders may be associated, with an incidence ranging from 18% to 45%, to the so-called midline pelvic floor sagittal hernias (MPH) that represent the herniation of the peritoneum and/or peritoneal viscera in the Douglas', Retzius', and retrorectal spaces.Although anamnestic and physical examination represents the first approach in the evaluation of the patients with pelvic floor dysfunction, the diagnostic limitation of the pelvic examination alone has led to the need to use more direct and comprehensive diagnostic methods -6.Purpose of the study is to define the role of conventional radiology and MRI in the evaluation of pelvic floor hernias.A MEDLINE and PubMed search was performed for journals before March 2013 with MeSH major terms 'MR Defecography' and 'pelvic floor hernias'. Non-English speaking literature was excluded.Entero-colpo-cysto-defecography (ECCD) is considered the gold standard for the evaluation of the patients with pelvic floor disorders and diagnosis of MPH -9. For tMRI Defecography should be performed on 1.5-T closed magnet using a body-phased-array receiver coil. To ensure an adequate bladder filling, all patients are invited to drink 500-700 ml of water 10-15 min before the examination. The rectum and vagina should be filled with 200 mL and about 25-30 mL , respectThe reference line used for conventional radiology and MRI is the Pubococcygeal line (PCL), extending from the most inferior portion of the symphysis pubis to the tangent of the sacrococcygeal joint.The diagnosis of descent of the bladder, vagina, and rectum is based on measurement of the verticaldistance between the PCL and the bladder base, the vaginal vault, and the anorectal junction, respectively.According to Yang's classification , the limRectocele could be defined as an out-pouching of the anterior rectal wall occurring during evacuation or straining -17 Figu.Pelvic floor hernias could be classified, basing on the content, into enterocele, omentocele, and sigmoidocele, whereas, according to the hernia development they could be classified as elytrocele, edrocele, retrorectal, and Douglas' and Retzius' hernias Figure .Enterocele, sigmoidocele, and omentocele represent the herniation below the proximal one third of the vagina of the peritoneal sac containing ileal loops, part of the sigmoid, or peritoneal fat, respectively -21. If tOn evaluation of conventional radiology, the diagnosis of an enterocele/ sigmoidocele/omentocele is made if the picture obtained during evacuation compared with that during rest showed an increase in the distance between the vagina and rectum Figure .This expansion should extend below the PCL reference line and shows a sagittal diameter of more than 2 cm.Anyway, the distinction between sigmoidocele, enterocele, and omentocele is made basing on the presence of contrasted small bowel in the expanded recto-vaginal space for the enterocele, on the presence of distinguishable bowel gas bubbles without contrast for the sigmoidocele alone, and on the absence of contrasted small bowel and bowel gas bubbles in the expanded recto-vaginal space, for the omentocele.-28On MRI-defecography, the relationship between the lowest point of the peritoneal border line and the PCL should be assessed. A descent of parts of the peritoneal content below this line and the identification of herniated contents allowed the distinction in enterocele, sigmoidocele, and omentocele . The herIn our experience, the specificity of MRI versus conventional radiology is of a 100%; the sensibility of MR-D in the detection of an omentocele, sigmoidocele, and enterocele is, respectively, 95%, 82%, and 65%, showing an inferior diagnostic capacity if compared with conventional radiology ,30. The In conclusion, MRI defecography shows lower sensitivity than coventional radiology in the detection of pelvic floor hernias. The diagnostic efficacy of conventional radiology is significantly higher than that of MRI Defecography in the detection of both hernia content (enteroceles and sigmoidoceles) and hernia development .However, the less-invasive MRi defecpgraphy may have a role in a better evaluation of the entire pelvic anatomy and pelvic organ interaction especially in patients with multicompartmental defects, planned for surgery .The authors declare that they have no competing interests.AR: conceived the study, analyzed and interpreted the data, drafted the manuscript.GDG: conceived the study, critically revised the manuscript.GG: critically revised the manuscript.FI: critically revised the manuscript.CR: critically revised the manuscript.MG: analyzed the data and critically revised the manuscript.FC: analyzed the data and critically revised the manuscript.LB: conceived the study, analyzed and interpreted the data, critically revised the manuscript.All authors read and approved the final manuscript.AR: Post-Doctoral Fellow in Radiology at Second University of NaplesGDG: Resident in Radiology Training Program at Second University of NaplesGG: Assistant Professor of Radiology at Second University of NaplesFI: Resident in Radiology Training Program at Second University of NaplesCR: Resident in Radiology Training Program at Second University of NaplesMG: Associate Professor of Radiology, University of FerraraFC: PhD Student at University of PalermoLB: Full Professor of Radiology, University of Molise"}
+{"text": "With its increasingly large pool of expertise across 19 countries including 13 EU member states, Australia, Canada, China, Norway, Thailand and the USA, the consortium provides forums and collaboration platforms on quality control, extraction technology, component analysis, toxicology, pharmacology and regulatory issues of Chinese herbal medicine (CHM), as well as on acupuncture studies, with a particular emphasis on the application of a functional genomics approach. The project officially started in May 2009 and by the time of its conclusion in April 2012 a Europe-based academic society dedicated to TCM research will be founded to carry on the mission of GP-TCM.Traditional Chinese medicine (TCM) is widely used in the European Union (EU) and attracts intense research interests from European scientists. As an emerging area in Europe, TCM research requires collaboration and coordination of actions. Good Practice in Traditional Chinese Medicine Research in the Post-genomic Era, also known as GP-TCM, is the first ever EU-funded 7 Traditional Chinese medicine (TCM), especially Chinese herbal medicine (CHM) and acupuncture, is an ancient medical system used in China and other Asian countries for thousands of years ,2. In cost May 2009. This is a three-year coordination action project funded under the EU Seventh Framework Programme (FP7) with a total budget of \u20ac995,100. The central hypothesis of the consortium is that, using functional genomics technology, which allows high-content observations of whole profiles of molecules at different levels, eg DNA, mRNA, protein and metabolites, and furthermore linking them to clinically relevant biological functions, we might be in a better position than ever before to interpret and validate the scientific value of TCM in a holistic and function-oriented manner [The Good Practice in Traditional Chinese Medicine Research in the Post-genomic Era (GP-TCM) consortium was launched by the European Commission on the 1d manner -11.Focusing on research of CHM and acupuncture, we especially emphasise studies of CHMs, their complex chemical ingredients and their holistic impact on the functional genomics of patients. The overall aim of the consortium is to inform the best practice and harmonise research on the safety and efficacy of TCM using a functional genomics approach through exchange of opinions, experience and expertise among scientists in EU member states, China and other parts of the world. Specifically, we aim to undertake the following objectives:\u2022 Develop a European-Chinese network, collaborating on functional genomics research of TCM;\u2022 Review current practice of TCM research, identify problems and propose solutions;\u2022 Propose standard protocols of methodology;\u2022 Propose priority areas for future research;\u2022 Develop online resources to support and enhance pan-European studies of TCM research;\u2022 Facilitate and foster a sustainable European collaboration by founding a European society dedicated to TCM research.in vitro and in vivo pharmacology (WP4-WP5), clinical studies (WP6), as well as international regulatory issues of CHM (WP7). WP9 is dedicated to organising the Final Conference of the consortium at the end of the project and WP10 is charged to manage consortium-wide matters, such as appointment and coordination of WP leadership, recruitment of additional experts, editing website and newsletters, drafting standard operating procedures, providing scientific and technological support and guidance, organising internal review and quality assurance, as well as liaising with the Commission and other stakeholders and external authorities.As shown in Figure ie funded) partner organisations across ten EU member states and China, which is an International Cooperation Partner Country (ICPC) of the EU. The consortium has additional 60 non-beneficiary (ie unfunded) collaborating partner organisations as well as two independent experts from Australia, Austria, Belgium, China, Denmark, Finland, Germany, Italy, Luxembourg, the Netherlands, Norway, Thailand, the UK and the USA , the management team (WP10) has coordinated a highly successful team build-up and re-construction. With the ever-strengthening expertise pool, WP10 has developed a number of committees and panels that lead the consortium with clear divisions of labour. WP10 has led the design and updates of the professional GP-TCM website and all WPs have established their homepages and online discussion facilities. Periodic newsletters have enabled members to share information and stay as a united team. Significantly, a series of face-to-face meetings, including consortium and WP kick-off meetings and the 1paozhi (processing) in the production of CHM. WP3 produced a list of toxic plants for further literature study and identified 3 major fields of action: (i) investigation of methods applicable to toxicity evaluation; (ii) study of toxicological reports available on a series of CHM; (iii) review of pharmacovigilance safety data. WP4 established evaluation criteria for scoring scientific articles and began the creation of an appropriate database of literature encompassing functional genomic applications in CHM research. WP5 performed reviews on CHM literature involving animal models, especially models of cancer and its conclusions have laid a solid foundation for further literature analysis on application of functional genomics in CHM research and proposing good practice in animal studies of CHM. WP6 gathered literature on seminal studies in clinical CHM studies and drafted a guideline on clinical trials of CHM. WP6 and WP8 collaboratively designed an online survey targeting TCM practitioners and the survey is currently undergoing in collaboration with 30 professional acupuncture and TCM organisations. WP7 brought together wide-ranging experiences and expertise in drug development and registration from Europe, China, Australia and North America to discuss the legislative and regulatory issues relevant to CHM. Together they are developing a comprehensive document providing comparisons of different practices on CHM regulations and this will be extremely helpful for the EU to develop its future policies and for companies to develop products for the global market. WP9 discussed the time and format of the Final Conference and preliminary bookings of venue has been made.Noteworthy WP-specific achievements are as follows. WP1 led the creation of a list of nearly 300 species of plants and fungi commonly used in TCM in Europe and China and a priority list of 11 species will be used by all WPs in their initial literature analysis. WP2 worked jointly with WP1, linking quality control, extraction technology and chemical analysis, with special emphasis on the important role of The major difficulty encountered by the consortium is unsurprisingly the language barrier. There is a lack of accessibility to original Chinese publications in Europe, and even if they are available, fast and accurate translation of these materials is impossible, preventing the consortium from extensively studying classic Chinese medical literature and evaluating a great deal of modern Chinese medical literature. While we strongly encourage our members to master both English and Chinese languages, we welcome members from various linguistic, ethnic and cultural backgrounds to work in close collaboration.As the first ever EU-China collaborative consortium dedicated to TCM research, we will continue to promote EU-China dialogues and collaborations in this important emerging supra-disciplinary area. As a network of principal investigators, we will collaborate to train the next generation of scientists who are more comprehensively equipped to study complex drugs such as CHM and personalised medicine such as TCM. As a coordination action involving much literature review and evaluation, we acknowledge the huge importance of good practice in scientific publication and will continue to support open-access publications.As an EU-China collaboration dedicated to TCM research, we are keen to incorporate ourselves into the worldwide landscape of TCM research community and serve as a constructive member. We sincerely support the international TCM community to bundle forces to improve TCM research funding from both the public and private sectors and to help shape the medicine of tomorrow together.CGCM: Consortium for Globalisation of Chinese Medicine; CHM: Chinese herbal medicines; EU: European Union; FP7: Seventh Framework Programme; GP-TCM: Good Practice in Traditional Chinese Medicine Research in the Post-genomic Era; ICPC: International Cooperation Partner Country; ISCM: International Society for Chinese Medicine; TCM: Traditional Chinese medicine; WFCMS: World Federation of Chinese Medicine Societies; WPs: work packages.The authors declare that they have no competing interests.The authors are the Project Manager (HU), the Coordinator (QX), Deputy Coordinators and Assistant Coordinator (HE) of the GP-TCM Consortium. HU and QX jointly drafted the manuscript. All named authors took part in the revision and approved the final version of the paper."}
+{"text": "Efforts to engage traditional, complementary, and alternative (TCA) health providers in the public health workforce are gaining increasing attention in India. Evidence from studies evaluating the efforts to integrate TCA health providers into the formal public health system highlights numerous lacunae in policy and practice. This study was undertaken to diagnose operational and ethical challenges in the implementation of current policies for integration of TCA health providers in order to derive lessons to strengthen integration strategies.We used qualitative data collection methods and an interpretive policy analysis approach in three states of India: Kerala, Delhi, and Meghalaya. Health policy documents, including bills, acts, orders, inter-institution communications, and publicly available material on TCA health providers, were examined. We also carried out direct observations of healthcare delivery facilities to map the workings of the health system in each of the study states. In-depth interviews were conducted with a range of stakeholders, including policy elites, health administrators, TCA health providers and allopathic (modern medicine) providers appointed in government health facilities, local traditional healers, community health workers, village elders, opinion leaders, and representatives of community organizations. Interviews explored the stakeholders\u2019 experiences and perceptions related to their roles, job responsibilities, and interactions with the various players in the health system. While 73 in-depth interviews were conducted in Kerala and 46 in Meghalaya, data collection is ongoing in Delhi. Further data collection is also planned in Kerala and Meghalaya.Major hurdles in mainstreaming of TCA health providers in essential health service delivery include absence of, or limited, formal communication and coordination between actors representing different systems of medicine; diverse levels of collegiality, ranging from hostility to harmony; and dissonance between the expectations placed on TC.A health providers and the amenities provided to them. Further observations included contestations by different strata of actors on validity and reliability of medical evidence from alternative systems; lack of coherence in the range of medical evidence across different systems of medicine; and weak conformance by state to the national policy in certain states, and limited action in communicating policy directives across the systems of medicines. Conflicting loyalties, to systems of medicine, patients, and the public health system, emerged as a key finding in the experiences and perceptions of TCA health providers in one state. Local health traditions implemented through family-based practice, although acknowledged as resonating deeply with the local culture, were found to have little, if any, place in the official health system. These gaps are compounded by the limited opportunities for formal collaborative work across different systems of medicine.Preliminary findings suggest that on the one hand, national policy articulations are not adequately translated into the state context. On the other hand, these articulations leave unresolved larger ethical questions of validity and reliability of evidence, and inter-system coherence that could more concretely support integration efforts. There is a profound need to understand and amend state-specific health governance processes and institutional capacities, and engender receptivity in mainstream health systems to alternative approaches, for the evolution of a truly integrated workforce for health services in India and other low- and middle-income countries. This may require institutionalizing incentives and opportunities for routine interaction between practitioners across systems of medicine in training, and ideally, in practice.Members of the research team for this study included allopathic (modern medicine) and homoeopathic doctors.This study was funded by the Wellcome Trust Capacity Building Large Research Grant (No. F012/RG/KS/02)."}
+{"text": "Geographic information systems (GISs) with emerging technologies are being harnessed for studying spatial patterns in vector-borne diseases to reduce transmission. To implement effective vector control, increased knowledge on interactions of epidemiological and entomological malaria transmission determinants in the assessment of impact of interventions is critical. This requires availability of relevant spatial and attribute data to support malaria surveillance, monitoring, and evaluation. Monitoring the impact of vector control through a GIS-based decision support (DSS) has revealed spatial relative change in prevalence of infection and vector susceptibility to insecticides and has enabled measurement of spatial heterogeneity of trend or impact. The revealed trends and interrelationships have allowed the identification of areas with reduced parasitaemia and increased insecticide resistance thus demonstrating the impact of resistance on vector control. The GIS-based DSS provides opportunity for rational policy formulation and cost-effective utilization of limited resources for enhanced malaria vector control. In Sub-Saharan Africa, malaria remains a major cause of morbidity and mortality . Its traSince malaria distribution is not homogeneous, much effort needs to be expended towards defining local spatial distribution of the disease precedenWhile vector control interventions are being deployed according to the World Health Organization-led Integrated Vector Management Straandtegy , 13, 14,Until recently, very few malaria endemic countries had incorporated the GIS technology into operational malaria control programmes, that is, in South Africa and the Lubombo Spatial Development in Mozambique in Southern Africa, where it has been harnessed for case mapping and monitoring of vector control coverage , 19. In An. gambiae s.s, An. arabiensis, and An. funestus, including the comparative impact of main stream vector control interventions, has been conducted in Zambia.The integration of operational and logistical data for malaria control program planning with epidemiological data will serve to strengthen both the epidemiological analysis and the planning and execution of control programs. GIS facilitate the integration of quantitative malaria determination and control data with data obtained from maps, satellite images, and aerial photos. A comprehensive review of data collected through nationally representative malaria indicator surveys and insecticide resistance data in major malaria vectors: 2 (Syngenta and Bayer) and DDT at 2\u2009g/m2 (Avima) at the beginning of the peak malaria transmission period ..32].ad hoc basis driven by limited empirical evidence and undoubtedly resulting in misdirection of the limited resources available.Given the spatial heterogeneity in the distribution of malaria vectors and variations in the inherent malaria risk, GIS has potential applications in deployment and monitoring of interventions. For resource-constrained malaria-endemic Sub-Saharan African countries, like Zambia, the need for a GIS-based malaria information system cannot be overemphasized. Until recently, decisions in the malaria control programmes were taken on an Following the increased funding for malaria control particulThe use of GIS in Zambia has enabled detection of spatial trends of parasite prevalence following extensive deployment of front line vector control interventions. Cross-sectional prevalence surveys show continuous prevalence increase in children from 2008 to 2010 in Chongwe district. In Kapiri mposhi, Mumbwa, Mazabuka and Kafue districts, prevalence dropped between 2008 and 2009 but increased in 2010. However, progressive reduction in malaria prevalence was detected in Monze, Kabwe, and Chibombo districts from 2008 through to 2010 .The GIS has introduced new dimensions to the understanding, prediction, analysis, and dissemination of spatial relations between disease, time, and space , 44. It An. funestus. At Myooye and Chimoto, ITN deploying sites with high kdr mediated crossresistance to pyrethroids and DDT in An. gambiae s.s, prevalence was reducing and remained at a low level across the three years. However, Rufunsa, another ITN deployment area with high pyrethroid resistance in An. funestus, exhibited constant increase in parasitaemia despite high coverage of ITNs (There was great heterogeneity in prevalence of malaria at sentinel sites relative to detected insecticide resistance in malaria vectors. At Chibombo, prevalence has been reducing despite high pyrethroid resistance detected in of ITNs . The usefulness of a GIS-based DSS for planning and managing control programmes is dependent on the availability of accurate and raw data on malaria transmission-related parameters. Monitoring and evaluation of malaria interventions and understanding of their true impact on disease burden is essential for measuring performance of a control programme. An effective system for monitoring and evaluation and continuous surveillance requires integration of spatially and temporally explicit data for entomological and epidemiological outcome indicators. This allows for identification of disease prevalence, planning of effective interventions, assessments of reduction of vector exposure and malaria burden resulting from implemented control measures. Continuous surveillance capturing real time data enables routine monitoring and evaluation of programme to demonstrate goals and impact on malaria burden. This is essential to increasing the efficiency and effectiveness of malaria control efforts . The effEffective implementation and monitoring and evaluation of malaria control interventions have resulted in redefinition of stratification of the country in three epidemiological zones for malaria transmission potential in Zambia , 45. ThiIn this case, the GIS-based DSS has not only streamlined evidence-based implementation of interventions, but has improved the tracking of entomological indicators: species characterization and insecticide resistance status, including parasite prevalence and impact assessment of ITNs and IRS. It has been greatly valuable in enabling the display of heterogeneities in malaria risk areas within low transmission intensities , 46, 47.The impact of main thrust vector control interventions on parasite prevalence in children between 1\u201314 years of age has been monitored through annual malaria surveys for three consecutive years at 19 sentinel sites . The useAlthough routine surveillance data have proved inadequate for monitoring control programmes , and havThe ability of GIS-based DSS to deal with large data sets and to incorporate satellite images increases the feasibility of studying transmission determinants of malaria and has resulted in prompt availability of data to support surveillance and policy formulation. The epidemiological mapping of high-risk areas of malaria transmission and insecticide resistance profiles of major vectors has facilitated the recognition of those populations and geographic areas where it is possible to identify the main determinants of malaria morbidity and mortality. The revealed trends and interrelationships have allowed the identification of high risk areas and facilitated decision making and rational utilization of limited resources in a cost-effective manner.In Zambia, an evidence-based decision support has created a more focused and purposeful approach to directing resources to areas of most need with reasonable returns for effort and resources invested. Monitoring the impact of malaria vector control interventions through the GIS-based DSS on relative change in prevalence of infection and vector susceptibility to insecticides over time has enabled measurement of spatial heterogeneity of trend or impact. The revealed trends and interrelationships have allowed the identification of areas with reduced parasitaemia and increased insecticide resistance thus demonstrating the impact of vector control. Targeting interventions based on entomological and epidemiological evidence have not only contributed markedly to the success of the Zambian Malaria Control Programme, but also have provided opportunity for rational decision making in deployment of interventions and cost effective utilization of limited resources for enhanced malaria control."}
+{"text": "High risk prescribing can compromise independent wellbeing and quality of life in older adults. The aims of this project are to determine the prevalence, risk factors, clinical consequences, and costs of high risk prescribing, and to assess the impact of interventions on high risk prescribing in older people.The proposed project will utilise data from the 45 and Up Study, a large scale cohort of 267,153 men and women aged 45 and over recruited during 2006\u20132009 from the state of New South Wales, Australia linked to a range of administrative health datasets. High risk prescribing will be assessed using three indicators: polypharmacy (use of five or more medicines); Beers Criteria ; and Drug Burden Index (a pharmacologic dose-dependent measure of cumulative exposure to anticholinergic and sedative medicines). Individual risk factors from the 45 and Up Study questionnaire, and health system characteristics from health datasets that are associated with the likelihood of high risk prescribing will be identified. The main outcome measures will include hospitalisation ; admission to institutionalised care; all-cause mortality, and, where possible, cause-specific mortality. Economic costs to the health care system and implications of high risk prescribing will be also investigated. In addition, changes in high risk prescribing will be evaluated in relation to certain routine medicines-related interventions. The statistical analysis will be conducted using standard pharmaco-epidemiological methods including descriptive analysis, univariate and multivariate regression analysis, controlling for relevant confounding factors, using a number of different approaches.The availability of large-scale data is useful to identify opportunities for improving prescribing, and health in older adults. The size of the 45 and Up Study, along with linkage to health databases provides an important opportunity to investigate the relationship between high risk prescribing and adverse outcomes in a real-world population of older adults. In older adults, high risk prescribing can be defined as prescribing likely to lead to adverse clinical outcomes or prescribing that does not align with quality use of medicines principles. A range of indicators have been proposed to quantify high risk prescribing in older people. These include multiple medication use or polypharmacy, potentially inappropriate prescribing and exposure to high risk medicines, measured using different risk assessment tools.Although the concomitant use of multiple medicines is often indicated in the treatment and prevention of health problems, polypharmacy is generally considered as high risk prescribing in older adults, and is associated with increased risk of harm -3, incluHigh risk prescribing also includes potentially inappropriate prescribing, defined as the use of medicines whose potential harms to older adults may outweigh the benefits . PotentiHigh risk prescribing may also encompass exposure to \u201chigh-risk\u201d medicines such as those with anticholinergic and sedative properties. A number of anticholinergic and/or sedative scores have been developed to capture the cumulative exposure to these pharmacological classes . One sucStrategies to reduce high risk prescribing, including pharmacist-conducted medication reviews, educational interventions and policy approaches, have been trialled in older adults -22. HoweThe current evidence from pharmaco-epidemiological studies suggests that high risk prescribing increases the risk of adverse outcomes in older adults ,2. Howev1) Estimate the prevalence of high risk prescribing;2) Investigate the risk factors for high risk prescribing;3) Quantify the relationship of high risk prescribing to adverse health outcomes;4) Determine whether associations between high risk prescribing and adverse outcomes vary according to individual and/or health care system specific factors;5) Calculate the economic cost and implications of high risk prescribing to the health care system;6) Investigate whether certain routine medicines-related interventions, including the Home Medicines Review and Chronic Disease Management are associated with reductions in high risk prescribing.The proposed cohort analysis will utilise a population-based dataset combining self-reported questionnaire data linked to routine administrative health datasets. This project will utilise the following data sources: the 45 and Up Study baseline questionnaire; the Australian Commonwealth Medicare Benefit Scheme (MBS) claims data, Pharmaceutical Benefit Scheme (PBS) claims data, Aged and Community Care Management Information System (ACCMIS) database, National Death Index; and New South Wales (NSW) datasets including the Admitted Patients Data Collection (APDC), and the Register of Births, Deaths and Marriages Figure\u2009.The 45 and Up Study cohort includes 267,153 men and women aged 45 and over from the state of NSW, Australia, randomly sampled from the Medicare Australia database . ParticiMBS and PBS are part of the Australia's national health insurance arrangements . These sst 2012) towards the cost of their medicines. Since all PBS medicines cost more than the concession card holder threshold, they will always attract a Commonwealth subsidy. Therefore medication data from concession card holders are captured consistently in the PBS database. However, the co-payment threshold for general beneficiaries is $35.40 (as at January 1st 2012). There are a range of PBS-listed medicines that cost less than this co-payment threshold. When these medicines are dispensed to a general beneficiary, the general beneficiary is required to pay the full cost of the medicines and the government does not contribute to payment. Consequently, PBS-medicines falling below the co-payment were not captured in the PBS database for general beneficiaries. However, following a policy change, since April 2012 the PBS database now captures all PBS-dispensed medicines, regardless of whether the government contributes to the payment. To manage the potential incomplete capture of PBS-listed medicines dispensed to general beneficiaries we will restrict our analysis to healthcare concession card holders. Recent estimates indicate that over 90% of individuals aged 65\u2009years and over hold a government health care concession card [The PBS database contains information on Commonwealth subsidised claims for prescribed medicines listed on the Schedule of Pharmaceutical Benefits. There are two main groups of PBS beneficiaries, concession card holders and general beneficiaries. The PBS database records only PBS-listed prescription medicines that attract a government subsidy. Concession card holders are required to contribute a co-payment of $5.80 routinely links identifying details from 45 and Up Study participants to those from the NSW APDC and death records, to provide regular updates to events in the cohort. This is a part of an established program of linkage. Records are matched probabilistically using privacy-preserving current best practice with software , an algoMedication exposure will be measured using the 45 and Up Study predominantly using PBS dispensing data, validated and calibrated against self-reported medication use from the 45 and Up Study questionnaire. As the PBS database does not capture private prescriptions, medicines dispensed to public hospital inpatients, over-the-counter medicines and many complementary and alternative medicines, the extent to which PBS data reliably categorise high risk prescribing is not known. The authors are currently conducting the validation projects to estimate the extent and implications of any under-ascertainment of high risk prescribing using PBS data, compared with self-reported measures from the 45 and Up baseline questionnaire.High risk prescribing will be defined using three indicators: polypharmacy; Beers Criteria; and DBI. Polypharmacy will be defined as the concurrent dispensing of five or more medicines over a sThe DBI, a measure of exposure to drugs with anticholinergic or sedative effects will be calculated using the equation ,D is the daily dose, and \u03b4 is the minimum efficacious dose , an estimate of the dose required to obtain 50% of the maximal effect. The daily dose will be estimated from the total quantity dispensed, using a standard pharmaco-epidemiological approach [where approach , by multapproach . The minData on individual risk factors from the 45 and Up Study questionnaire , and health system characteristics from linked data will be obtained to identify factors associated with the likelihood of high risk prescribing.Data on a range of clinical outcomes will be obtained, including: hospitalisation ; all-cause mortality; and, where possible, admission to institutionalised care and cause-specific mortality. Follow-up will be from the date of recruitment, to the last available data on hospitalisation, death or institutionalisation, whichever occurs first. The 45 and Up Study recruitment was from February 2006 to April 2009, giving a range of follow-up duration of 2\u20135\u2009years, by end 2012 (accounting for linked data delays).Changes in high risk prescribing will be evaluated in relation to two health interventions: the Home Medicines Review , and theThe cost analysis will be undertaken from a health system perspective. Total annual health system costs will be estimated overall and for each type of health care resource utilisation for each individual in the 45 and Up Cohort, based on their hospital, Medicare and pharmaceutical utilisation data. Costs will be assigned to each type of resource utilisation based on standard Australian sources . Differences in total and average annual costs will be estimated for the high-risk and non-high risk prescribing groups using each of the definitions of high risk prescribing. Covariates will be included in the cost equations and interacted with a dummy variable for the high risk prescribing group. Differences in total health care costs and for each type of health care resource utilisation will be estimated.The statistical analysis will be conducted using the standard pharmaco-epidemiological methods including descriptive analysis, univariate and multivariate regression analysis , time-varying methods, and controlling for relevant confounding factors using a number of different approaches .To answer the first study objective, analysis will be performed to calculate the high risk prescribing indicators, using the 45 and Up Study cohort, linked to PBS data and restricted to concession card holders. The patterns of high risk prescribing will be summarised using proportions and means. To answer the second and third objectives, analysis will be performed to identify individual and health system based risk factors for high risk prescribing, using the same dataset in aim one. Univariate and multivariate analysis with relevant covariates will be used to quantify the risk for high risk prescribing compared to age and gender-matched controls. Using the same dataset, linked to other data sources, we will investigate the relationship of high risk prescribing indicators with hospitalisations, deaths and institutionalisation, allowing for a range of factors. Analysis related to the fourth objective \u2013 calculation of the economic costs and implications of high risk prescribing to the health care system \u2013 will be performed as outlined in the previous section. To answer the fifth objective, we will perform the analysis to evaluate the possible impact of policy-related interventions on high risk prescribing. In particular, we will compare the rates of high risk prescribing in participants with and without these interventions and the incidence of high risk prescribing before and after each of these interventions, within individuals.before and after the intervention.Using data available to the end of 2012, the project will be highly powered for the main outcomes, with the ability to detect a minimum relative risk of death (the least common outcome) of 1.12, for each of the three high risk prescribing indices ,15, at 5This study has been approved by the NSW Population and Health Services Research Ethics Committee . In addition, the 45 and Up Study also has overarching in principle ethical approval for data linkage from the University of New South Wales Human Research Ethics Committee , Sydney, Australia and the Department of Health and Ageing, Ethics Committee .The baseline characteristics of the 45 and Up study participants, and concession card holders are presented in Table\u2009High risk prescribing is a term used to describe a pattern of prescribing, which, for theoretical or empirical reasons, has been linked with adverse outcomes in older people. Identifying strategies to minimise high risk prescribing in older people requires a reliable evidence base on the magnitude of the problem and the relationship of high risk prescribing to adverse health outcomes, as well as the effectiveness of routine interventions to improve quality use of medicines. The Australian health system is well suited to this, because of a rich collection of large population-based and administrative databases. The size of the 45 and Up Study, along with linkage to routine health data will allow investigation of the relationship between high risk prescribing and adverse outcomes at the population level, including exploration of confounding, effect modification and intervention effects. In addition, opportunities to utilise other population-based datasets, including general PBS population and Department of Veteran Affairs\u2019 data will also be explored.It should be noted that the administrative datasets are not collected specifically to describe patterns of medicine utilisation or medical care and there are some important limitations to this cohort analysis, including generalisability, validity of data, bias and causality issues. Cohort studies often involve selected groups and produce results based on internal comparisons within the cohort. Theoretical and empirical work have shown these internal comparisons to be valid and reliable ,38, inclWhile the gold standard for evaluating the causal effects of medicines on clinical outcomes is the randomised controlled trial, randomising older individuals to high risk prescribing would be inappropriate. Therefore, observational studies are essential to elucidate the association between high risk prescribing and health outcomes in this population, and to ensure the necessary degree of heterogeneity. However, the quantification of causality requires judicious interpretation of observational data . A centrIn summary, the 45 and Up Study and its linkage with health databases will allow investigation of the relationship between high risk prescribing and adverse outcomes at the population level, which has not been possible in the past. The proposed study will generate an important, unique dataset for the quality use of medicines and will allow the identification of targets for improving prescribing in older people.ACCMIS: Aged and Community Care Management Information System; APDC: Admitted Patients Data Collection; ATC: Anatomical Therapeutic Codes; CHeReL: Centre for Health Record Linkage; DBI: Drug Burden Index; MBS: Medicare Benefit Scheme; NSW: New South Wales; PBS: Pharmaceutical Benefit Scheme; TGA: Therapeutic Goods Administration.The authors declare that they have no competing interests.DG and EB drafted the manuscript. EB, DLeC, SP, AM, RV, SH, DG, FB, and GJ contributed to the design of the study, and DLeC, SP, AM, RV, SH, FB, GJ were involved in reviewing the manuscript. All authors read and approved the final manuscript.Danijela Gnjidic: Faculty of Pharmacy, Bank Building A15, Science Rd, University of Sydney, Camperdown, NSW 2006 Australia.David Le Couteur: Centre for Education and Research on Ageing (CERA), Concord Hospital and University of Sydney, NSW 2139 Australia.Sallie-Anne Pearson: Faculty of Pharmacy, Bank Building A15, Science Rd, University of Sydney, Camperdown, NSW 2006 Australia.Andrew McLachlan: Faculty of Pharmacy, Bank Building A15, Science Rd, University of Sydney Camperdown, NSW 2006 Australia.Rosalie Viney: Centre for Health Economics Research & Evaluation, PO Box 123, Broadway NSW 2007 Australia.Sarah Hilmer: Royal North Shore Hospital and University of Sydney, Level 1, Acute Services Building, RNSH, St Leonards, NSW 2065 Australia.Fiona Blyth: Centre for Education and Research on Ageing (CERA), Concord Hospital and University of Sydney, NSW 2139 Australia.Grace Joshy: National Centre for Epidemiology and Population Health, Australian National University Canberra ACT 0200 Australia.Emily Banks: National Centre for Epidemiology and Population Health, Australian National University Canberra ACT 0200 Australia.The pre-publication history for this paper can be accessed here:http://www.biomedcentral.com/1471-2458/13/115/prepub"}
+{"text": "Descending necrotizing mediastinitis is a life-threatening complication of an oropharyngeal infection that requires prompt and aggressive medical and surgical therapy. Herein, we report unusual case of man suffering of sub-acute mediastinal infection due to odontoiatric abscess which exacerbated at 3 months after its first presentation. Chest X-ray and CT scan demonstrated soft-tissue swelling of the neck and encapsulated fluid collections with gas bubbles within anterior mediastinum, especially on the right side. Bilateral anterior neck dissections were performed and blunt dissection, irrigation and debridement were carried out to several centimetres below the sternal manubrium. Then, right standard thoracotomy was performed with debridement of the anterior mediastinum. Four tubes were placed in the mediastinum and pleural cavity on the right side, and two tubes were placed in the left thoracic cavity. Follow-up CT scans of neck and chest showed the resolution of infection. Descending necrotizing mediastinitis (DNM) is a life-threatening complication of an oropharyngeal infection that requires prompt and aggressive medical and surgical therapy. Delay of diagnosis and inappropriate drainage of the mediastinum are the main causes of mortality in this life threatening condition ,2. HereiA 50 year-old man was admitted in our institution for neck pain, dysphagia, high-fever, and chest pain. Such symptoms began following infected foot ulcer 7 days before. She had a history of diabetes, and chronic obstructive bronchitis; yet, three months before she was admitted to a local hospital for mediastinal abscess as complication of odontogen abscess. However, the patient refused further investigations, and started antibiotic therapy for a time not better defined. On examination she had bilateral diffuse neck erythema, oedema, and induration. Broad-spectrum antibiotics were initiated empirically. Chest X-ray and CT scan demonstrated soft-tissue swelling of the neck and encapsulated fluid collections with gas bubbles within anterior mediastinum, especially on the right side Figure .After review of the images, the patient was taken to the operating room. Bilateral anterior neck dissections were performed and blunt dissection, irrigation and debridement were carried out to several centimetres below the sternal manubrium. Then, right standard thoracotomy was performed with debridement of the anterior mediastinum. We irrigated the mediastinum and thoracic cavity with copious warm saline during the operation. Four tubes were placed in the mediastinum and pleural cavity on the right side, and two tubes were placed in the left thoracic cavity. Bacteriologic results from materials obtained from the neck, pleura, mediastinum, pericardium, and blood revealed in all cases a polymicrobial infection, with mixed aerobic and anaerobic organisms. A repeated bronchoscopies were attended ,4. FolloThe most dreaded and probably lethal form of mediastinitis is the diffuse necrotizing variety that occurs as a complication of infection of the oropharynx. The best term of such mediastinitis is DNM; descending because the infection uses fascial planes in the neck to gain access to the mediastinum, and necrotising because the infection is often polymicrobial and gas-producing . InfectiIntravenous broad-spectrum antibiotic therapy alone is not efficient without adequate surgical drainage of the cervical and mediastinal collections, extensive debridement and excision of necrotic tissue, and wide mediastinopleural irrigation -14.The most interesting aspect of the present case, not been reported before, is that our patient suffered of sub-acute mediastinal infection due to odontogen abscess treated with antibiotic therapy for three months. Then, an exacerbation of mediastinal infection is observed with concomitant presence of infected foot ulcer. In theory, the infection of foot ulcer may lead to septicemia which in addition with other risk factors as diabetes, and obesity may then cause the exacerbation of mediastinal infection.In the present case, diagnosis of cervical infection with increasing infectious symptoms, and respiratory insufficiency is clinically obvious; yet, radiological studies show the presence of cervical abscess with diffuse mediastinal collections. Thus, the diagnosis of DNM is confirmed in agreement of diagnostic criteria of Estrera et al. . These cIn reported cases of DNM, successful surgical management involves a combination of cervical and mediastinal drainage with or without open thoracotomy. Endo et al. proposedIn the meta-analysis by Corsten et al , patientRoberts et al report tThe authors declare that they have no competing interests.PL : conception and design, interpetration of data, given final approval of the version to be published. F. N.: acquisition of data, drafting the manuscript, given final approval of the version to be published. CC : acquisition of data, drafting the manuscript, given final approval of the version to be published. MD : acquisition of data, drafting the manuscript, given final approval of the version to be published. BA : acquisition of data, drafting the manuscript, given final approval of the version to be published. AG : acquisition of data, drafting the manuscript, given final approval of the version to be published. MV: acquisition of data, drafting the manuscript, given final approval of the version to be published. V.D.C.: critical revision, interpretation of data, given final approval of the version to be publishedPL: Resident in Department of Medicine and Surgery - University of Salerno. FN: Resident in Department of Medicine and Surgery - University of Salerno. CC: Resident in Department of Clinical Medicine and Surgery - University of Naples. MD: Aggregate Professor of Surgery in Department of Clinical Medicine and Surgery - University of Naples Federico II. BA: Associate Professor of Surgery in Department of Clinical Medicine and Surgery - University of Naples Federico II. AG: Assistant Professor of Pediatric Surgery - University of Salerno. MV: Associate Professor of Endocrinology - University of Salerno. VDC: Assistant Professor of Thoracic Surgery - University of Salerno."}
+{"text": "These Centers foster collaboration among transdisciplinary teams of scientists with the goal of accelerating progress towards reducing cancer incidence, morbidity and mortality associated with obesity, low levels of physical activity and poor diet. This presentation will review key opportunities in transdisciplinary research, highlight lessons learned and note future challenges.The increasing recognition of the complex, multidimensional relationship between excess adiposity and cancer risk, coupled with the high prevalence of obesity in the US, has motivated the scientific community to seek new research models and paradigms. Compared to traditional unidisciplinary research, transdisciplinary research is seen as having the potential to accelerate both discovery and its translation to practice, and eventually policy. In response, the National Cancer Institute (NCI) developed a centers grant mechanism in nutrition, energetics, and physical activity; referred to as the Transdisciplinary Research on Energetics and Cancer (TREC) Initiative ("}
+{"text": "In Japan, the Research Committee on Intractable Vasculitides, supported by the Ministry of Health, Labour and Welfare, has been promoting basic and clinical research on vasculitis since 1972. The present Research Committee on Intractable Vasculitides comprises 4 subcommittees under the direction of a Principal Investigator: Basic and Pathological Research Subcommittee, Clinical Research Subcommittee of Small and Medium-sized Vessel Vasculitis, Clinical Research Subcommittee of Large-sized Vessel Vasculitis, and International Cooperation Research Subcommittee. Since 2008, 9 nationwide clinical studies for vasculitis have been conducted and 8 clinical and basic studies are in progress. The Research Committee on Intractable Vasculitides, supported by the Ministry of Health, Labour and Welfare of Japan, has conducted and promoted basic and clinical research on vasculitis since 1972. We study 9 diseases: Takayasu arteritis, temporal arteritis, polyarteritis nodosa, Buerger disease, microscopic polyangiitis, granulomatosis with polyangiitis, eosinophilic granulomatosis with polyangiitis, antiphospholipid syndrome, and rheumatoid vasculitis. Experts from several fields including nephrology, rheumatology, pulmonology, dermatology, cardiology, vascular surgery, pathology, epidemiology, and otorhinolaryngology work cooperatively. The present Research Committee on Intractable Vasculitides comprises 4 subcommittees under the direction of a Principal Investigator (Hirofumi Makino):Basic and Pathological Research Subcommittee of Vasculitis Syndrome (Yasunori Okada), Clinical Research Subcommittee of Small and Medium-sized Vessel Vasculitis Syndrome (Yoshihiro Arimura), Clinical Research Subcommittee of Large-sized Vessel Vasculitis Syndrome (Kazuo Tanemoto), and International Cooperation Research Subcommittee of Vasculitis Syndrome patients and a naTo describe the current treatment status and evaluate the effectiveness of these treatments for Japanese patients with all types of antineutrophil cytoplasmic antibodies (ANCA)-associated vasculitides (AAV), we conducted a nationwide prospective cohort study of remission induction therapy in Japanese patients with AAV (RemIT-JAV). Twenty-two university hospitals and referring hospitals participated in this study; consecutive patients newly diagnosed with AAV were enrolled from April 2009 to December 2010. The criteria of primary systemic vasculitis proposed by the European Medicines Agency (EMEA) algorithm was employed for enrollment [Based on our retrospective study elucidating the risk factors for relapse in patients with myeloperoxidase (MPO)-ANCA positive MPA , we are After RemIT-JAV, we conducted a nationwide, prospective cohort study of remission induction therapy in Japanese patients with ANCA-associated vasculitides and rapidly progressive glomerulonephritis (RemIT-JAV-RPGN) (UMIN000005136) including 47 university hospitals and referring hospitals. Enrollment of consecutive patients newly diagnosed with AAV began in April 2011 and will continue till December 2013. The primary and some secondary outcome measures are the same as those in RemIT-JAV, but pathological analysis of renal involvement and radiological analysis of pulmonary involvement will be added. Further, biological samples will be collected and offered to the Basic and Pathological Research Subcommittee for Research for identifying candidate biomarkers.We also conducted a nationwide Japanese prospective observational study on the current state and efficacy of therapeutics for large-vessel vasculitis (UMIN000010414). The subjects included patients newly diagnosed with Takayasu arteritis and giant cell arteritis. The study objective was to clarify the current state and efficacy of therapeutics for large-vessel vasculitis in Japan and to evaluate the utility of the current diagnostic criteria and classification for large-vessel vasculitis. The primary outcome measure of this study is remission rate. The study began in November 2012, and patients will be registered until March 2014. Final follow-up will be completed in March 2016.The International Cooperation Research Subcommittee is leading the effort to join some international collaborative clinical research studies: the Diagnostic and Classification Criteria in Vasculitis Study (DCVAS) (NCT01066208), the Plasma Exchange and Glucocorticoid Dosing in the Treatment of ANCA-Associated Vasculitis (PEXIVAS) Study (NCT00987389), and a comparison study of phenotype and outcome in microscopic polyangiitis between Europe and Japan.A genome-wide association study in AAV patients registered in the Japanese clinical studies RemIT-JAV and RemIT-JAV-RPGN, and a prospective study of the severity-based treatment protocol for Japanese patients with MPO-ANCA-associated vasculitis (JMAAV) , is also"}
+{"text": "The disease causes progressive bilateral swelling of the lower legs Podoconiosis is widely distributed in certain countries on three continents: Africa, South America, and Asia Ernest Price, in the early 1970s, conducted extensive research in Ethiopia and in the eastern African region on the aetiology, natural history, distribution, and management of non-filarial elephantiasis In 2002, Gail Davey was first introduced to the problem of podoconiosis in one of the southern districts of Ethiopia. Since then, she has led podoconiosis research using a multi-disciplinary approach, including epidemiology, immunology, mineralogy, genetics, bioethics, social sciences, and economics, to describe the disease and its impacts. In addition to Price and Davey approaching podoconiosis from a multi-disciplinary perspective, Davey went the extra mile by partnering with local and international institutions that translated the research into disease prevention and treatment. Several factors have contributed to the success of Davey's program. Unlike Price, Davey has (i) embraced social science and public health research rapidly applicable to education of community members and clinical management, (ii) included service-providing institutions , and International Orthodox Christian Charities, Ethiopia [IOCC]), (iii) engaged a wider range of academic and other institutions in Ethiopia and from around the world , and (iv) most importantly, included local investigators . Contextual factors that have contributed to the success of this program have been increased awareness of the importance of partnership in North\u2013South research collaborations, and the recent global attention focussed on NTDs.The major accomplishments of the past decade fall into three interlinked categories: scientific research, inclusion of podoconiosis in national and international health agendas, and integration of research findings into clinical management of podoconiosis .de novo clinical staging system that could be used by community workers with little health training HLA\u2013DQA1, \u2013DRB1, and \u2013DQB1 confer risk for podoconiosis Considering first scientific research, the initial group of podoconiosis studies aimed to describe the burden of the disease in Ethiopia in terms of prevalence, economic cost, and social burden. Studies in different regions of Ethiopia have documented prevalence ranging from 2.8% to 7.4% http://www.who.int/neglected_diseases/diseases/podoconiosis/en/). In March 2012, Footwork, the International Podoconiosis Initiative, was launched, with the vision of eliminating podoconiosis (www.podo.org). In 2012, the civil society organizations (CSOs) that had been working on podoconiosis prevention and treatment in Ethiopia for over 20 years formed the National Podoconiosis Action Network (NaPAN), an umbrella organization that coordinates the work of its member organizations to work towards its vision \u201cto see Ethiopia free of podoconiosis.\u201dThe aforementioned research milestones contributed significantly to the second major accomplishment\u2014recognition of podoconiosis in national and international health agendas. In December 2010, the Ethiopian Federal Ministry of Health agreed to prioritize podoconiosis control. Subsequently, podoconiosis was included in the National Master Plan for NTDs and in the modules prepared by the Open University for the upgrading of Ethiopian Health Extension Workers. In February 2011, the World Health Organization included podoconiosis in its list of NTDs total dependence on CSOs for podoconiosis treatment services and limited involvement of government health services, making disease prevention efforts unsustainable, (ii) limited knowledge of mid- and high-level health professionals in Ethiopia about the causes and clinical management of podoconiosis and differential diagnosis from other causes of lymphoedema, (iii) neglect by global health advocates of non-infectious and non-fatal, but socio-economically devastating, diseases of the poor such as podoconiosis, thereby limiting the amount and sources of funding available for research and interventions, and (iv) absence of comprehensive data on the distribution and burden of podoconiosis and lack of diagnostic tools, which are necessary for negotiating funding and delivery of treatment and interventions.http://www.who.int/neglected_diseases/diseases/podoconiosis/en/), the Wellcome Trust (http://www.wellcome.ac.uk/News/Media-office/Press-releases/2012/WTVM054822.htm), and the US National Institutes of Health . The successes of the journey demonstrate the impact of ten years of community-oriented, intervention-linked, multi-disciplinary research to positively influence the lives of marginalized patients. It also shows that scientific research in a low-income setting and among marginalized communities can impact policy, raise disease profile, and touch hearts across the world. These rewarding accomplishments have also generated research questions that future enquiry may answer with huge dividends for scientific knowledge, disease elimination, and lessons for other diseases.The accomplishments of the past ten years have drawn podoconiosis from the book shelves where it was buried for a ten-year \u201cDark Age\u201d to some light. Podoconiosis is now a global health topic recognized as such by the World Health Organization (work, the International Podoconiosis Initiative.The success stories of the past ten years and the recent funding of further research projects such as the mapping of podoconiosis in Ethiopia, an evaluation of podoconiosis lymphoedema management, and a trial of behavioural strategies for promoting footwear imply that elimination of podoconiosis is achievable. Mapping of the disease burden of podoconiosis will help target resources, monitor control progress, and advocate for investment in podoconiosis prevention, control, and ultimately elimination. The studies evaluating lymphoedema management and behavioural interventions are a prerequisite for the scale-up of these interventions. Capitalizing on filarial lymphoedema management experience and research outcomes will help update the treatment options for podoconiosis"}
+{"text": "Formed in 2008, the Southern African Centre for Infectious Disease Surveillance (SACIDS) is a One Health consortium of academic and research institutions involved with infectious diseases of humans and animals. Operating in partnership with world-renowned centres of research in industrialised countries, its mission is to harness innovations in science and technology for improving southern Africa's capacity to detect, identify, monitor (DIM) and manage the risk posed by infectious diseases of humans, animals, and ecosystems. The consortium's major capacity development activities include a series of One Health-based Master of Science (MSc) courses and a five-year DIM-driven research program. Additionally, SACIDS organized Africa's first One Health conference, in July 2011. This paper describes these and other major activities that SACIDS has undertaken to improve infectious disease surveillance across southern Africa. The paper also describes the role and collaboration of SACIDS with other national, regional and international consortia/networks that share a vision and interest in promoting novel approaches to infectious disease surveillance and outbreak response. It has become increasingly apparent that the most cost-effective strategy for addressing the high infectious disease burden and risk in southern Africa must be through the sharing of expertise and resources across institutions; through close collaboration between the human and animal health sectors; and, ideally, through an approach that is based on ecological systems, which in Africa often transcend administrative or national boundaries services the Southern African Development Community (SADC). Operating in partnership with world renowned research institutions in the United Kingdom, United States, and Asia, SACIDS : Burundi, Rwanda, Uganda, Kenya, and Tanzania. Together, the two regional economic communities (RECs) share not only a vision for inter-regional free trade, but also an abundance of wildlife animals in their savannah and forest ecosystems and an intense wildlife-livestock-human dynamic . Thus, sThe headquarters of SACIDS is located at the Sokoine University of Agriculture (SUA), Morogoro, Tanzania. SACIDS operates as a non-profit inter-institutional consortium through the legal framework of the SACIDS secretariat host and member institutions. At the national level, several virtual centers for infectious diseases have been formed. Collectively, these National Centres for Infectious Disease Surveillance (NatCIDS) form the core of SACIDS see . The undSACIDS seeks to enhance the effectiveness of existing official disease surveillance systems. Thus, at both national and regional levels, SACIDS is underpinned by sector ministries and regional inter-governmental organizations, especially SADC, the New Partnership for Africa's Development (NEPAD), and the African Union. At the national level, each NatCIDS includes as active members representatives of the Ministries responsible for human health, livestock and wild animal health; operates under the patronage of national chief medical and veterinary officers; and is linked to national offices responsible for responding to natural emergencies. At the regional, or SADC level, SACIDS is developing linkages with sections of the SADC Secretariat that deal with human and animal health matters, not only through desk officers but also directly with the communicable diseases and livestock technical committees that advise governments on priority diseases for regional priority.Provide training through two \u201cOne Health\u201d MSc courses, one at Sokoine University, Tanzania, with a focus on molecular biology; the other at the University of Zambia, Lusaka, with a focus on analytical epidemiology. Each course includes core modules on the understanding of key One Health challenges. The courses have been developed and are being delivered in collaboration with regional institutions and the University of London's London School of Hygiene and Tropical Medicine (LSHTM) and Royal Veterinary College (RVC).Develop research capacity, focusing primarily on five disease-driven themes: (i) climate-dependent, vector-borne diseases ; (ii) diseases with potential inter-species concern/spread between wildlife, livestock, and humans ; (iii) diseases of economic and food security importance ; (iv) bacterial rare diseases ; and (v) dangerous emerging diseases . The consortium's research on One Health policy is focused primarily on disease burden in the dry land ecosystems of southern and East Africa and its impact on livestock-dependent communities . AnotherShare expertise and resources across consortium institutions, especially for disease emergency situations See . The valExamine approaches and mobile technologies for improving the efficiency of disease alerts, surveillance and response .The initial focus of SACIDS is on capacity development through employment of the Community of Practice (CoP) principle . A CoP iOnderstepoort Journal of Veterinary Research is governed by a multi-sectoral steering committee whose members include representatives from the Ministry of Livestock Development and Fisheries, and efforts are underway to establish a veterinary stream of the Tanzania FELTP. TFELTP is a collaboration between MOHSW, Muhimbili University of Health and Allied Sciences (MUHAS), National Institute of Medical Research (NIMR), Centres for Disease Control and Prevention (CDC), World Health Organization (WHO), and African Field Epidemiology Network (AFENET) . It was Mycobacteria strains, the causative agent(s) of tuberculosis (TB), can infect both animals and humans. SACIDS's focus on TB exemplifies not only how SACIDS is focused on developing and implementing a One Health approach to infectious disease surveillance, but also how SACIDS seeks to enhance existing surveillance systems by prioritizing the same diseases that the official organs of SADC prioritize. SADC prioritizes TB because member states carry a disproportionate burden of the dual epidemic of TB and HIV/AIDS compared to the rest of Africa and the rest of the world. The region is home to 25 percent of the sub-Saharan human population but accounts for 50 percent of TB cases reported. The SADC Health Protocol includes a specific Article 12 on TB control, advocating for global and regional partnerships to respond to the TB epidemic in the SADC region , pathogen evolution, travel and trade, changing patterns of land use resulting in increased interactions between humans and both domestic and wild animals, increasing urbanization, population growth, and changing food consumption patterns. Together, these factors will create evolving One Health challenges, such as emerging zoonoses, and an increasing demand for scientific evidence in relevant policy decision-making. The challenges will be made more difficult if policy silos between human health, animal health, and agriculture prevent the type of inter-sectoral, inter-disciplinary collaboration that is needed for One Health infectious disease surveillance and response.But as the burden increases, so too do opportunities for reducing the burden. It is anticipated that SACIDS itself will continue to evolve as an initiative that promotes novel One Health approaches to infectious disease surveillance, such as the application of improved diagnostic and information technologies that can be used in remote rural settings. To be effective, SACIDS will need to strengthen its \u201cengagement\u201d and convening strategy for developing smart, shared-vision partnerships at national, regional, and international levels. CORDS helps to nurture that strength."}
+{"text": "The development of novel, more precise instruments for the delivery of ionizing radiations, the accretive utilization of protons and heavy ions, and the emphasis on hypofractionated irradiation schemes have resulted in major improvements in locoregional tumor control. However, radiation therapy alone is still insufficient to cure locally advanced metastatic tumors. The heterogeneity of neoplasms and their microenvironment also affect the radiosensitivity of cancers. Thus, there is an urgent clinical need for innovative therapeutic concepts that may be translated into novel radio(chemo)therapeutic regimens. In order to develop new therapeutic strategies, a profound knowledge of tumors and their microenvironment is essential.In this e-book, the authors deal with various aspects of interrelationship between neoplasms and their microenvironments, including how high and low dose irradiation affects the immune system, the effects of targeted and non-targeted photon, and particle irradiation on tumor and normal tissues, as well as the impact of epigenetics on irradiation therapy. Furthermore, the authors report on the effects of irradiation on inflammatory pathways and on the microcirculation, two aspects that are highly relevant for the delivery of macromolecules and other therapeutics to irradiated tumors. A major focus of this e-book is to elucidate immunological facets of ionizing irradiation. It is indeed becoming clear that high- and low-dose irradiation elicit distinct immunological effects. Furthermore, the mode of irradiation-induced cell death has a major impact on anticancer immune responses. Overall, the e-book aims at review the current knowledge on the role of ionizing irradiation in antitumor immunity. This knowledge is instrumental for the development of innovative therapeutic modalities involving the combination of radio(chemo)therapy and immunotherapy in patients with locally advanced tumors."}
+{"text": "Little is known physical health (PH), mental health (MH) and health-related quality of life (HRQOL) adaptation outcomes in AYA with SB, and the factors associated with them. The purpose of this presentation is to 1) describe the PH , MH , and HRQOL outcomes; and 2) delineate the direct and indirect relationships of risk and protective variables in the Ecological Model of Secondary Conditions and Adaptation in SB associated with these outcomes. This model includes SB Context , neuropsychological risk [NPR], and protective processes (adolescent resilience and family resourcefulness).This is an interdisciplinary descriptive cross-sectional study. AYA were between 12-25 years of age and from 4 clinical programs in the USA. They had no other major medical condition, no mental retardation, were English speaking and functioned at approximately grade levels. Parent and AYA report of PH and MH and AYA report of HRQOL outcomes were included. Study measures had reliability and validity data and most had been used in our previous studies. Structural Equation Modelling (SEM) analyses were used to assess the model.Mean parent and AYA basic functional status scores reflect need for supervision; self-management reflects need for substantial assistance. Mean parental report of IBP are higher than EBP and both are in the normative range. However, 13-18% of parent or AYA reports of AYA depressive symptoms were in the clinically significant range.Self-worth and HRQOL were both moderately high. Three SEM analyses revealed different predictive patterns for PH, MH, and HRQOL constructs. In the PH model only LOL was significantly related to FS. NPF mediated the impact of shunt status and LOL on self-management, and age, NPR, and functional status had direct relationships to self-management. In the MH model, SES and family resourcefulness had indirect paths to MH; whereas AYA resilience, secondary conditions, and age had direct paths to MH. In the HRQOL model SES, age, and family resourcefulness had indirect paths to HRQOL through AYA resilience and MH; whereas AYA resilience and MH had direct paths.Different direct and indirect relationships of the conceptual framework variables were identified for the three outcomes. Clinical interventions should be differentiated by outcome and targeted to risk and protective variables."}
+{"text": "Segmented service delivery with consequent inefficiencies in health systems was one of the main concerns raised during scaling up of disease-specific programs in the last two decades. The organized response to NCD is in infancy in most LMICs with little evidence on how the response is evolving in terms of institutional arrangements and policy development processes.Drawing on qualitative review of policy and program documents from five LMICs and data from global key-informant surveys conducted in 2004 and 2010, we examine current status of governance of response to NCDs at national level along three dimensions\u2014 institutional arrangements for stewardship and program management and implementation; policies/plans; and multisectoral coordination and partnerships.Several positive trends were noted in the organization and governance of response to NCDs: shift from specific NCD-based programs to integrated NCD programs, increasing inclusion of NCDs in sector-wide health plans, and establishment of high-level multisectoral coordination mechanisms.Several areas of concern were identified. The evolving NCD-specific institutional structures are being treated as \u2018program management and implementation\u2019 entities rather than as lead \u2018technical advisory\u2019 bodies, with unclear division of roles and responsibilities between NCD-specific and sector-wide structures. NCD-specific and sector-wide plans are poorly aligned and lack prioritization, costing, and appropriate targets. Finally, the effectiveness of existing multisectoral coordination mechanisms remains questionable.The \u2018technical functions\u2019 and \u2018implementation and management functions\u2019 should be clearly separated between NCD-specific units and sector-wide institutional structures to avoid duplicative segmented service delivery systems. Institutional capacity building efforts for NCDs should target both NCD-specific units and sector-wide organizational units (for building program management and implementation capacity) in MOH.The sector-wide health plans should reflect NCDs in proportion to their public health importance. NCD specific plans should be developed in close consultation with sector-wide health- and non-health stakeholders. These plans should expand on the directions provided by sector-wide health plans specifying strategically prioritized, fully costed activities, and realistic quantifiable targets for NCD control linked with sector-wide expenditure framework. Multisectoral coordination mechanisms need to be strengthened with optimal decision-making powers and resource commitment and monitoring of their outputs. The burden of chronic non-communicable diseases (NCDs) is growing in low- and middle-income countries (LMICs) alongside persistent communicable diseases, poor maternal health, and fragile health systems. NCDs such as cardiovascular disease (CVD), cancers, diabetes, and chronic obstructive respiratory diseases are increasingly affecting people in the economically productive age- groups. NCDs also account for more than 50% of total premature mortality (i.e. deaths in those under 60\u2009years of age) in most LMICs ,2. The aEncouragingly, NCDs are now high on the global agenda with a series of high-level events, such as the Health Ministers' meeting in Moscow and a United Nations High-Level Ministerial summit, held in September 2011. Calls are being made to establish a Global Fund for NCDs and a global facility for NCD medicines . Past exThe organized response to NCD is still in infancy in most LMICs. There is limited published evidence on how this response is structured from governance perspective within the context of overall health systems. We examine the evolving response in terms of institutional structures and arrangements, policy content and development processes, and coordination across different actors and sectors.Although our research is focused on LMICs in the Western Pacific Region (WPR) of the World Health Organization (WHO), we hope the findings may be of wider interest.Governance and leadership is a central building block for health systems . The terGovernance structures: The roles and responsibilities, inter-relationships, and architecture of the institutional structures within Ministries of Health (MOH) that are involved in oversight, management, and planning for NCDs were examined. We conceptualize the institutional structures in two categories: NCD \u2013specific structures whose remit is confined to NCDs only, and the \u2018sector-wide\u2019 structures responsible for \u2018shared\u2019 health functions across different diseases and programs .Policy development and planning: Policies and plans may be NCD-specific and \u2018sector-wide\u2019 covering all the programs and diseases and other sector-wide issues . We examine the extent to which the content, and processes for development of NCD-specific and sector-wide health policies and plans are aligned.Multisectoral coordination, building coalitions and partnerships: Effective regulation of and influence over the life-style and other environmental determinants of NCDs require interventions across multiple sectors and stakeholders increasing the salience of multi-sectoral coordination. We examine the status, nature, roles and responsibilities, and outcomes of multisectoral coordination mechanisms, coalitions and partnerships both within and outside government.In addition, the conceptual framework envisages that the governance of health systems and disease-specific programmes, especially in aid-dependent countries, are influenced by architecture of funding flows, policies, accountability and reporting requirements at global and regional level .A qualitative desk-review of policy and programme documents (published between 2000 and 2011 and available in public domain) covering the health sector and NCDs was conducted for the five selected countries\u2014Cambodia, Fiji, Malaysia, Mongolia and the Philippines. These countries represent a range of contexts from low-income (Cambodia and Mongolia) to lower-middle income (the Philippines) to upper middle income countries . A specific focus of analysis was the most recent national NCD plan and sector-wide national health plan in each of these five countries -22. In aThe paper also draws on data collected in 2004 and 2010 from member states in the WPR as part of the WHO sponsored global key-informant surveys. The surveys assessed the capacity of member states to respond to NCDs in five areas: public health infrastructure for NCDs; the status of policies, strategies, action plans and programmes relevant to NCDs; health information systems, surveillance and surveys; the capacity of health care systems for early detection, treatment and care of NCDs; and health promotion, partnerships and collaboration ,24. BothThis paper also uses other peer-reviewed literature on governance of health systems and NCDs published since 2000 with special reference to Western Pacific Region.An increasing number of countries have established special units or departments specifically for NCDs, giving a clear institutional identity to control and prevention of NCDs within MOHs. Globally, countries reporting such structures increased from 70% to 95% between 2000 and 2010 . In the The location and remit of NCD units within the MOH varies across countries Table\u2009. In MalaCo-existence of different NCDs in a substantial number of patients, and the common risk factors that link major NCDs warrant integrated multidisciplinary approach to disease prevention and management. Integrated approaches can improve efficiency, which is especially important given the often limited human resources in LMICs. Yet disease- or risk-factor based governance structures, often separate and additional to the overall NCD specific structures described above, have developed over time in some countries. For example in Vietnam, the National Institute for Cardiovascular Disease manages the program on prevention and control of CVD; the National Institute of Oncology manages the program on prevention and control of cancer; the National Institute of Endocrinology and the National Institute of Psychiatry each manage the separate national programs on diabetes and mental illness, respectively . A similDisease- or risk-factor specific global or regional initiatives seem to have also influenced development of disease- or risk-factor specific organizational structures within MOHs. For example, much stronger global advocacy and funding flow for tobacco control under the WHO Tobacco Free Initiative has led to far more resourced tobacco control teams in LMICs, often separate and under different hierarchical control from the NCD teams described above. Encouragingly, some positive trends are observed in establishment of more integrated NCD programs. The Philippines merged the three vertical programs into an integrated NCD control and prevention program in 2000, and similar trends are seen in other countries such as Mongolia and Malaysia.The global key informant survey in 2010 elicited information about the planning, coordination of implementation, and monitoring and evaluation of NCD initiatives and almost all the member states in the WPR reported NCD-specific units responsible for these functions. However, the relationships and division of roles and responsibilities between NCD units and other sector-wide institutional structures, such as policy and planning units and health information units, are often not clearly specified. In some countries, the NCD related structures seem to function mainly as technical units and not as specific programme management and implementation entities. For example, in contrast to the situation in Vietnam described earlier, structures such as the National Cancer Centre, National Cardiovascular Centre, National Centre for Neurosciences and Psychiatry affiliated with Ministry of Health, Labour and Welfare in Japan and in many other developed countries including Malaysia mainly serve as leading technical and research institutions in their respective fields, rather than as programme management or operational entities .Many LMICs have other major organizational structures with NCD related functions such as health promotion centres and national centres for nutrition, and these are often distinct entities under different hierarchical control. For example, Cambodia and the Philippines have an autonomous National Centre for Health Promotion. In Mongolia the National Centre for Health Development has the key responsibility for health promotion. Many countries including Malaysia, Mongolia, and the Philippines have newly established, or plan to establish, health promotion boards or foundations to provide population-based primary prevention services for NCDs. However, relationships of these newly proposed structures with the existing organization structures for health promotion or the NCD units are not clearly specified. There is a potential overlap in the reported functions and responsibilities, as NCD units also reported health promotion as their key responsibility in the global key informant survey. For example, the National Centre for Health Promotion in Cambodia is the focal organization for tobacco and alcohol control and is mandated to lead on matters of behaviour change, working across multiple programmes . This soIf the common goals and targets articulated in sector-wide and NCD-specific policies and plans are to be pursued effectively and efficiently, clear specification of roles and responsibilities of each institutional structure involved may be required to align the NCD-related functions, activities and resources located in multiple and distinct organizational structures across the MOH.Neither the global key informant survey nor the qualitative review indicated the presence of formal institutional coordination mechanisms for these different organizational units within the MOH. The Philippines has a Sectoral Management and Coordination Team responsible for the overall development, monitoring and coordination of policies, mechanisms and guidelines for the health sector, but its role in coordinating NCD policies across the Department of Health is not known.Cambodia provides a \u2018typical\u2019 example of the situation witnessed in many countries on how additional \u201cvertical\u201d disease- or program-specific structures were created over time that evolved into self-contained units taking over sector-wide health system functions relative to only that particular disease/program leading to segmented service delivery.In the past, the MOH in Cambodia created special institutions such as the National Centre for HIV/AIDS and STDs, the National Centre for TB and Leprosy Control, the National Centre for Parasitology, Entomology and Malaria Control, and the National Centre for Maternal and Child Health (NCMCH), which respectively became responsible for HIV/AIDS, Tuberculosis, Malaria and immunization services Figure\u2009. These nCurrently, the Department of Preventive Medicine is responsible for NCD control and is expected to facilitate and coordinate the development of NCD policy, conduct surveillance of NCD risk factors, develop treatment guidelines and deliver health promotion, prevention and treatment services and training relevant to NCD prevention and control. Many of the reported functions of this NCD unit overlap with other sector-wide centres/departments that are expected to perform some of these functions across different programmes/services Figure\u2009.If the experience of other disease-specific structures mentioned above is repeated, these NCD-specific structures may start growing by having additional staff with expertise and responsibility in the areas such as planning, management, human resource training, supervision, medical supply, logistics and procurement, and health information systems to become self-contained programme implementation and management entities undermining overall consolidation of these sector-wide functions in MOH. Encouragingly, Cambodia sector-wide health plan recognizes the fragmentation of activities, funding, monitoring and supervision and administrative lines of authority . The NCDIn LMICs in the WPR, the sector-wide national health plans and policies increasingly mention NCDs and included at least one goal or objective related to NCD control, although the level of detail varies. In Malaysia, NCD policy agenda figures high up not only in the health sector plan or for a specific risk factor such as alcohol or tobacco use, unhealthy diet, obesity, and physical inactivity. In 2010, the highest number of countries reported a policy/strategy for diabetes mellitus (71%) and cancer control (66%) and the lowest number reported for chronic obstructive pulmonary diseases (11%). These developments do not necessarily reflect the relative public health importance of these diseases. For example, the estimated number of deaths from cardiovascular (4.1 million) and chronic respiratory diseases (1.5 million) is much higher than that of diabetes ( 0.2 million) in the WPR ,26. The A qualitative review of sector-wide and NCD-specific polices/plans in five countries showed weak alignment between the two groups of policies in terms of goals and targets, financial resource allocation, and implementation mechanisms, potentially reflecting the largely autonomous development process of these policies involving different constituents. The NCD-specific Plans do not necessarily expand on the directions set in sector-wide national health plan and may be completely independent. The development of NCD-specific plans are for the most part coordinated by the NCD unit in the MOH, the role and influence of the sector-wide policy and planning units in the development of these policies is not very clear.An important factor in ensuring the implementation of NCD-policies and plans is the extent to which political consensus and administrative undertakings to ensure implementation are in place. This might best be achieved by involving key stakeholders at the preparatory stages of NCD strategies but the extent to which this happens is not clear from our qualitative review and practice seems to vary. The 2007 National NCD control program document in Mongolia identifies all the policy actors and their roles, and was explicitly endorsed by the Ministry of Food and Agriculture, Ministry of Finance, and governors of the capital city and provinces , other non-health government ministries (83%), private sector (71%), other international organizations (66%), academe (60%) and UN agencies (51%).The most commonly reported mechanism in the global key informant survey for multisectoral coordination was cross-departmental or inter-ministerial committees (80%). However, the survey does not give details of the composition, roles, responsibilities, and effectiveness of these partnerships, or the extent to which these partnerships influence national strategies, plans and regulations for NCDs.Encouragingly, in all the five countries, both the sector-wide and the NCD specific plans emphasize the importance of multi-sectoral coordination and identify relevant stakeholders. The qualitative review showed that high-level multisectoral coordination committees exist in all these countries Table\u2009. HoweverThe roles and responsibilities, powers and legitimacy of decision-making, and resources of these coordination mechanisms were often unclear. Evidence is already emerging that suggests the limited functionality and effectiveness of these structures in influencing either policies or resource allocation in non-health sectors. For example, although never formally abolished, the national public health council chaired by Mongolia's Prime Minister is not active . A similEffective governance for NCD at national level requires the development of effective partnerships and coalitions to generate the demand for change and to catalyze political action. The range of actors and stakeholders for non-communicable disease control are complex and include food manufacturers and retailers, tobacco and alcohol industries, civil associations, disease/condition specific advocacy groups such as national diabetic associations, and professional associations. Although the multisectoral coordination mechanisms in both Fiji and the Philippines included membership of non-governmental organizations (NGOs) Table\u2009, LMICs mWhile, the implementation of programs for communicable diseases and maternal and child health in LMICs owe much to the financial and technical assistance of external donors, less than 3% of global development assistance for health currently goes to NCDs . DespiteIn the past, many global initiatives had required countries to establish coordination structures for specific health issues as a condition to receive the assistance. For example, the Global Fund required a Country Coordination Mechanism and GAVI Alliance required an Interagency Coordination Committee (ICC), often having similar membership, functions and mandates . SimilarThe analysis in the paper is limited by explicit information available in the public domain and may not be able to capture all the complex consultations or discussions that may be ongoing in the countries more recently. Hence the results should be interpreted in light of this limitation.The evolving response to NCDs in LMICs shows several positive trends. These include increasing institutional recognition of NCDs, a move from disease-based programs to integrated NCD programs, and an increasing inclusion of NCDs in sector-wide health plans. These developments reflect the increasing recognition of the high burden of NCDs, and an explicit acknowledgment of the need for multisectoral actions with the creation of high-level coordination mechanisms. The analysis also suggests substantial influence of supranational initiatives and processes on in-country governance structures and policy development processes, which offers both opportunities and challenges.Notwithstanding the above positive trends, the analysis highlights some areas of concern. Each of these areas of concern and potential strategies to address them are described below.The current directions in development of NCD-specific institutional structures in LMICs with their increasing direct role in planning, management and implementation may lead to segmented service delivery systems for NCDs, especially with increase in NCD-specific external funding, as experienced in the past with scaling-up of programs for immunization, malaria, Tuberculosis, HIV/AIDS.Two key strategies are recommended to pre-empt this undesirable outcome. The first strategy would be clear separation of the \u2018technical\u2019 and the \u2018operational and programme management\u2019 functions between NCD-specific units and sector-wide organizational units , respectively. The NCD-specific structures are justified to build much needed technical capacity for NCDs in MOH and to provide institutional identity and visibility, especially when similar structures exist within the MOH for other public health problems perceived to be important. However, it will be critical that these NCD-specific units are developed only as technical advisory bodies with strengthening of their capacity in analyzing up-to-date technical information, development of clinical guidelines, advising on suitability of different proposed interventions and research. In addition, NCD-specific units should focus on strategizing, guiding, coordinating policies and activities across different stakeholders within and beyond MOH. However, these units should not act as direct implementing bodies for NCD plans and management and delivery of NCD-related services which should be rather left to sector-wide organizational structures.Second, the resources to strengthen institutional capacity to respond to NCDs should not be solely targeted to NCD-specific units, but more importantly to sector-wide organizational units to build their capacity in effectively incorporating NCD-specific requirements in human resources development, health financing, medical supply and logistic and information systems.Three major concerns were identified in the increasingly complex NCD policy landscape in LMICs.First, out analysis suggest that the sector-wide health plans were not entirely informed by critical analysis of local disease burden and health needs. Often local evidence, even when acknowledged in situation analysis, was ignored in favour of global priorities and goals. Hence, NCD-specific units should be fully engaged in the sector-wide health policy and planning process to ensure inclusion of NCDs related activities as appropriate to their epidemiology, morbidity/mortality burden in the sector-wide health plans.Second, our analysis shows weak alignment Tables\u2009 and 3 amThird, NCD specific plans with no information on financial and implementation feasibility and no realistic quantifiable targets, as have been observed in some of the countries examined, may become simply technical papers or 'laundry lists' of desirable activities with limited reference value and no follow-up at the government level .Although the need for multisectoral coordination is acknowledged by most LMICs, the resources needed to organize and manage such coordination mechanisms appear to be inadequate. The inter-ministerial bodies\u2014the most common mechanism reported\u2014seem to be relatively fragile structures in most LMICs with limited effectiveness in influencing the policies, programs and resources allocation in different sectors . In someTo summarize, attention to evolving governance structures and policy development processes for NCDs is vital. It will aid pre-emptive and corrective action at an early stage for the effective, efficient, and sustainable scaling-up of response to NCDs within a health systems context.The authors declare that they have no competing interests.MR conceptualized the paper and wrote the first draft and the final version. SN assisted with the qualitative desk reviews of the data and other literature and reviewed various drafts. LH reviewed the draft of the paper and provided comments and inputs towards the final paper. All authors read, commented, and approved the final version of the manuscript.MR \u2013 Western Pacific Regional Office, World Health Organization SN\u2014University of Auckland, New Zealand LH-- Western Pacific Regional Office, World Health Organization.The views expressed in this paper are solely the responsibility of the named authors and do not necessarily reflect the decisions or stated policy of the organization they work for.The pre-publication history for this paper can be accessed here:http://www.biomedcentral.com/1471-2458/12/877/prepub"}
+{"text": "A brief history of training of traditional birth attendants (TBAs), summary of evidence for effectiveness of TBA training, and consideration of the future role of trained TBAs in an environment that emphasizes transition to skilled birth attendance are provided. Evidence of the effectiveness of TBA training, based on 60 studies and standard meta-analytic procedures, includes moderate-to-large improvements in behaviours of TBAs relating to selected intrapartum and postnatal care practices, small significant increases in women's use of antenatal care and emergency obstetric care, and small significant decreases in perinatal mortality and neonatal mortality due to birth asphyxia and pneumonia. Such findings are consistent with the historical focus of TBA training on extending the reach of primary healthcare and a few programmes that have included home-based management of complications of births and the newborns, such as birth asphyxia and pneumonia. Evidence suggests that, in settings characterized by high mortality and weak health systems, trained TBAs can contribute to the Millennium Development Goal 4\u2014a two-thirds reduction in the rate of mortality of children aged less than 14 years by 2015\u2014through participation in key evidence-based interventions. Every year, an estimated four million babies die in the first four weeks of life, and a similar number of babies are stillborn. Moreover, half a million women die from pregnancy-related causes. Most of these deaths occur at home during the first postnatal or postpartum week, especially within the first 24 hours of birth. Most occur in developing countries with weak or failing health systems, with South Asia and sub-Saharan Africa being especially hard-hit \u20133. For mAlthough TBAs have been trained since the late 1800s, important milestones over the last century illustrate the shifting policies on TBA training as a global public-health strategy. Credit for the first formal training programme is usually given to a British missionary midwife, Miss M.E. Wolfe, working in Sudan in 1921 . HoweverThe broad goals of TBA training programmes are to reduce maternal and child mortality and morbidity and to improve the reproductive health of women. The objectives include: enhancing the linkages between the modern health system and community, increasing the number of TBA-attended births, and improving the skills and stature of TBAs . TraininThe content of curricula of TBA training also varies. Most TBAs have been trained to upgrade their skills so as to be able to perform safe deliveries. Consistent with the emphasis on extending the reach of primary healthcare, many TBAs have also been trained to take on the expanded functions of prevention, screening, and referral , 13. VerThe answer to the question: is TBA training effective? depends on the objectives and content of a particular training programme and the outcomes measured. From 1997 to 2002, we conducted a meta-analysis of the available published and unpublished studies on the effectiveness of TBA training. We updated this review for selected topics in 2003 and 2004 \u201315. The Details of materials, methods, and statistical analyses have been described elsewhere \u201315. Brieh, representing the standardized difference between the trained and the untrained TBA group on the outcome of interest. The variance-weighted mean effect size for each sub-group of outcomes was then calculated, and homogeneity tests were performed on the distributions of the weighted mean effect sizes. With a few exceptions, homogeneity of variance was rejected (\u03b1=<0.05), and the weighted mean effect size and 95% confidence interval were calculated using formulae based on a random effects model. Sensitivity analysis was conducted to detect the presence of publication bias. In addition, stratified analyses, by study design and sampling procedure, were performed to examine the influence of these potential moderating variables on the weighted mean effect sizes. Lastly, sub-group analyses conducted to date include antenatal care, referral for emergency obstetric care, birthing and newborn-care practices, perinatal and newborn health outcomes.Most outcomes measured were reported as percentages. The percent difference associated with each outcome was converted to a common scale using the effect size index Cohen's The findings of the meta-analysis were positive for the sub-groups of outcomes measured . StratifTBA training is associated with moderate-to-large improvements in behaviours relating to selected intrapartum and postnatal care practices, and small but significant decreases in perinatal mortality and neonatal mortality due to birth asphyxia and pneumonia. The findings are consistent with the historical focus of TBA training on extending the reach of primary healthcare and a few TBA training programmes that have included management of birth asphyxia and pneumonia care. TBA training is also associated with small but significant increases in women's use of antenatal care and emergency obstetric care, suggesting that referral is a multi-faceted process, and influence of TBAs on care-seeking behaviour may be limited.Unfortunately, incomplete reporting by authors resulted in loss of studies and datasets and limited our ability to examine which intervention characteristics were associated with better outcomes, cost-effectiveness, and the association between training and maternal mortality\u2014the rationale for the policy shift away from TBA training. Moreover, due to the variable quality of studies included in our sample, we could not address causality and only the magnitude and direction of the association between training and the outcomes could be measured. More rigorous studies are now being conducted. In a recent cluster-randomized controlled trial from Pakistan, Jokhio and colleagues showed that TBA training, linked to outreach and facility-based care, resulted in a statistically significant reduction of 30% in perinatal mortality . The estMillennium Development Goal (MDG) 4 aims to reduce mortality of children, aged less than five years, by two-thirds between 1990 and 2015. MDG 5 aims to reduce maternal mortality by three quarters during this timeframe. Policy regarding the best strategies to meet these goals, however, swings between community-based care and facility-based care, while safe motherhood and child-survival advocates compete for limited resources . The finIn settings characterized by high mortality and weak healthcare systems, family and community care providers often include a mix of women, family members, TBAs, and other semi-skilled or skilled health workers. In these circumstances, \u201cAre TBAs the best choice, among others, for training in health promotion and delivery care?\u201d There are a number of considerations. One important consideration is the proportion of deliveries assisted by TBAs since this reflects, to a large extent, their number, distribution, role, status, presence of other providers, and preference of women and families. Our analysis of the 1994\u20132004 Demographic and Health Survey data from 44 countries for the period of three years preceding the survey showed tThe Lancet\u2014eloquently argued that women, newborns, and children all have lefts, and all would greatly benefit from a health system that delivers proven interventions through a continuum-of-care approach, i.e. from pregnancy through labour, birth, and the postpartum and postnatal periods, and into early childhood; and including home, peripheral health facility, and hospital \u2014must include interventions that prevent and treat complications that kill women\u201d . We beliThe meta-analysis of effectiveness of TBA training was made possible through funding support from the World Bank , USAID , USAID, DFID and the Bill and Melinda Gates Foundation (University of Aberdeen/IMMPACT Project), and the Bill and Melinda Gates Foundation (Save the Children/Saving Newborn Lives Project). The views presented here represent those of the authors."}
+{"text": "The obstructive sleep apnea syndrome (OSAS), a form of periodic breathing, is highly prevalent disorder that affects at least 4% of adult male population and 2% of females and is associated with repetitive episodes of complete (apnea) or partial (hypopnea) occlusion of upper airway during sleep. These episodes result, among others, in loud snoring and in daytime symptoms such as excessive sleepiness, morning headache, irritability, cognitive impairment and lead to reduced quality of life. Varying degrees of transient oxygen desaturation follow the upper airway occlusion, and it is a common pathway for the development of several cardiovascular complications. Central Sleep Apnea (CSA) is another form of periodic breathing characterized by lack of respiratory effort during sleep and frequently coexists with OSA. One major underlying mechanism of CSA is unstable ventilatory drive during sleep. Treatment options for sleep apnea include continuous positive airway pressure (CPAP), oral appliances, and weight loss.In this special issue on sleep-related breathing disorders a number of distinguished scientists report on the following: the association between the duration of sleep and cardiovascular and metabolic comorbidities of patients with OSAS, the influence of age on clinical characteristics and polysomnographic findings of patients with OSAS in Greek population, the effect of weight loss by behavioural, pharmacological, or surgical approaches in the management of OSAS, the mechanisms that may trigger cognitive decline in OSA patients, the evaluation of two different mandibular advance appliances and the application of sclerosant agents for treatment of snoring, the presence of Cheyne-Stokes respiration (CSR), a form of central sleep apnea, in patients with radiologically-proven first-ever lacunar stroke, the implication of age in the pathogenetic link between sleep apnea and plasma homocysteine levels.All the above help us to better understand some mechanisms involved in pathogenesis, consequences, and treatment of sleep apnea syndrome and snoring, and clearly this special issue is a great contributor to our knowledge.Manos AlchanatisManos AlchanatisJames MacFarlaneJames MacFarlaneSofia SchizaSofia Schiza"}
+{"text": "Diarrheal illness remains 1 of the top 5 causes of death in low-income and middle-income countries, especially for children <5 years of age. Introduction of universal childhood vaccination against rotaviruses has greatly reduced the incidence and severity of illness in upper-income and lower-income settings. For adults, norovirus is the leading cause of sporadic cases and outbreaks of diarrheal illness and is responsible for nearly 21 million episodes annually in the United States, of which 5.5 million are foodborne. Public health efforts to control and prevent norovirus illness have focused on rapid outbreak detection and source identification and control of transmission in institutional settings. Diarrheal illness remains 1 of the top 5 causes of death in lower-income and middle-income countries (For children <5 years of age, rotavirus is the leading cause of diarrhea-associated illness and death. Fortunately, safe and effective vaccines against rotavirus illness are now available in many countries. Introduction of universal childhood vaccination against rotaviruses greatly reduces the incidence and severity of illness in upper-and lower-income settings (In adults, norovirus is now recognized as the leading cause of sporadic cases (Public health efforts to control and prevent norovirus illness have focused primarily on outbreak detection and control. The implementation of CaliciNet, as described by Vega et al. (Because a large proportion of norovirus illness results from foodborne exposures, considerable effort has gone into development of methods for detecting and eliminating virus contamination from food items, particularly shellfish (Finally, several other viruses, including astrovirus, sapovirus, and as described by Drexler et al. ("}
+{"text": "Translational Neurodegeneration will provide a perfect platform at the global level to share knowledge and experience of the latest research on the epidemiology, etiology, pathogenesis, diagnosis, management and prevention of neurodegenerative diseases.A common feature of current biomedical science is inter-disciplinary research and collaboration. Translational research, the basis for translational medicine, integrates the basic sciences and clinical medicine with the aim of optimizing preventive measures and patient care, is at the cusp for expansion. Translational medicine, in short, is the process of turning appropriate biological discoveries into drugs and medical devices that can be used in the treatment of patients. Vigorous efforts have been made to link basic scientific research with clinical investigations. Notably, in the area of neurodegenerative disorders, more basic and clinical researchers as well as nations have joined forces to explore the interface between basic neurosciences and clinical neurology and psychology. Thus, the newly established journal of Indeed, the prevalence of neurodegenerative disorders, including Alzheimer's disease (AD) and Parkinson's disease (PD), has increased significantly as global populations age. Specifically, the number of cases of dementia in the developed world is projected to rise from 13.5 million in 2000 to 21.2 million in 2025, and to 36.7 million in 2050[The discovery and application of levodopa (L-dopa) is one of the best examples of translational research for neurodegenerative diseases. In 1910s, L-dopa was first isolated from seedlings of Vicia faba; and in 1938, L-dopa decarboxylase was discovered, which can produce dopamine (DA) from L-dopa. In 1959, DA was found enriched in the basal ganglia; and in 1960, a severe striatal DA deficit was demonstrated in PD patients. These major discoveries and a deepening understanding of the neurochemistry of DA and the neuropathology of PD led to the concept of \"DA replacement\" with L-dopa. In 1961, L-dopa was tried in PD patients by i.v. treatment. In 1967, oral administration of L-dopa was reported to produce dramatic improvements in PD patients with increasing amounts over long periods . Since tSubstantial progress has been made in understanding the pathogenesis of neurodegenerative diseases, but we are still a long way from applying it to clinical application. Translational research will definitely help overcome the bottleneck and barriers in 1) identifing and validating biomarkers for early or pre-clinical diagnosis as well as clinical progression; 2) promoting the innovative clinical technologies, such as neuroimaging, stem cell technology and nanotechnology; and 3) developing the novel drug candidates; and more importantly, to gain a multitude of new ideas and contacts back to research. Thus, launching a journal in translational neurodegenerative diseases is essential and timely.Translational Neurodegeneration. Notably, the articles are interdisciplinary and focus on many current issues facing translational neuroscience research.The latest research on the etiology, pathogenesis, potential diagnostic markers and treatment modalities of PD has been presented at the XIX World Congress on Parkinson's Diseases and Related Disorders. Almost 2500 distinguished scientists, clinicians and allied health experts gathered in Shanghai, China, December 11-14, 2011 to enhance collaboration in these important inter-disciplinary research areas. Organized by the Association of Parkinsonism and Related Disorders and the local host, the Department of Neurology, Ruijin Hospital affiliated to Shanghai Jiao Tong University School of Medicine, the congress is the highest level of academic conferences in the field of PD and related disorders. Several speakers and attendees contributed review and original articles for the inaugural issue of Research of gene mutation, especially of alpha-synuclein, has provided important clues in understanding the pathogenesis of PD. In cell models, A53T mutation of alpha-synuclein can increase macroautophagy, which has not yet been detected in patients. Yue Huang et al . It gavePeter A. LeWitt discussed the wide role of norepinephrine (NE) in his review titled \"Norepinephrine: the next therapeutics frontier for Parkinson's disease\" . NE may Jon Stoessl introduced the latest progress in \"Neuroimaging in the early diagnosis of neurodegenerative diseases\" . SPECT aTranslational Neurodegeneration will promote the rapid conversion of basic research to clinical applications benefiting patients better and faster. The concept and spirit of translational research in the field of neurodegenerative disorders will spread through Translational Neurodegeneration and the authors.Translational research and knowledge of neurodegeneration are expanding at a fast pace. The potential to find causes, treatments and cures for many neurological and neurodegenerative diseases are available to us. This congress and our journal highlight the opportunities for interdisciplinary and global collaborations. By offering a high-visibility forum for new insights and discussions of translational research in neurodegenerative diseases, Translational Neurodegeneration; Rui Jin Hospital leaders, colleagues, team members and leaders of Shanghai Jiao Tong University School of Medicine, University of Nebraska Medical Center, Society for Neurology Chinese Medical Association and Chinese Society for Neuroscience, without whose help the success of this undertaking could not have been realized.We thank the authors, referees, and Springer and BioMed Central, our publisher, for their help in making this journal and first issue possible. Special thanks also go to Ms. Robin Taylor from the University of Nebraska Medical Center; Drs. Jianqing Ding and Yuyan Tan, managing Editors of"}
+{"text": "Phaseolus vulgaris L.) is an important source of plant protein, and member of the legume family, which includes soybean, cowpea, and lentils. With its relatively small genome size, well-characterized cytogenetics, and recently sequenced genome, common bean serves as a good model for legume epigenetics. Accumulation of recent and ongoing bean community-wide genomic and transcriptomic sequence data along with advances in sequencing technology enables the further understanding of the roles of histone-DNA interactions, small RNAs, and cytosine methylation in gene regulation in common bean. Till date, there has not been much progress in studying various epigenomic marks in common bean, and therefore, the long-term objective of this research is to identify protein-DNA interaction sites in the common bean genome to include histones, as well as, non-histone proteins such as transcription factors involved in biotic and abiotic stress. The short-term objective of this work is to develop the first reference epigenomes in four common bean genotypes as related to histone modifications. Common bean genotypes can be broadly classified into those of Andean and Mesoamerican origin, and these genotypes were selected for their importance and use in genomics, as well as breeding. The immediate goal of this work is to identify the hierarchy of binding of histones H4K12ac and H3K9me2 in the common bean genome using Illumina sequencing. To achieve this goal, a chromatin immunoprecipitation (ChIP) protocol was developed for common bean, and chromatin from leaves of these four genotypes was isolated and used for ChIP and ChIP-sequencing (ChIP-seq). Sequence analyses of this data is enabling the understanding of the layout of these histone modifications across the genomes of these four genotypes when compared to the reference genome sequence of G19833. This work serves as the first reference histone-DNA interaction map in common bean and lays a foundation for comprehensive analyses and large-scale studies of histone modifications and global protein binding sites in this important plant species, further facilitating the annotation of the common bean genome.The common bean ("}
+{"text": "Indeed, the remarkable achievements in contemporary integrative oncology only emphasize the need for a patient-tailored strategy of care attuned to the individual's biophysical, psychological, social, cultural, and spiritual needs and concerns. The integrative challenge is how to provide an evidence-based consultation and supportive treatment to patients who confront fear at the moment of breaking the bad news of cancer diagnosis; how to improve their well-being during chemotherapy, radiation, surgical, or palliative treatment; and how to support patients and their care providers along the survivorship pathway or across the threshold of life. In daily practice, integrative oncology may be employed to reduce nausea and vomiting in contemporary cancer care is an emergent field of clinical practice and research throughout the world. The use of herbs, nutrition, mind-body, and spiritual practices is deeply rooted in the cross-cultural mosaic of Middle Eastern and South Asian nations. The concept of integrative oncology has emerged in the last decade to signify the need to amalgamate traditional and complementary medicine practices with evidence-based research aiming to improve supportive cancer care. The integration of ancient s ginger ), to alls ginger ), and tos ginger ), mood ds ginger ), and maThe paper by H. Zaid et al. featured in this special issue reviews the concept of traditional Islamic medicine with regard to herbs with potential anticancer activity. This paper illuminates the importance of bridging ancient knowledge rooted in Greco-Arabic medicine and contemporary research. But, in addition to the extensive review presented by H. Zaid et al., this paper is also distinctive thanks to the contribution of the two other authors in this collaborative Israeli-Palestinian paper. Notable is the contribution of M. Silbermann, the director of the US National Cancer Institute-affiliated Middle-East Cancer Consortium (MECC), who has succeeded over the last 15 years in promoting supportive care collaborations that have included joint integrative oncology projects between MECC and other Middle-Eastern countries . The paper by E. Ben-Arye presents an integrative oncology program operated within conventional oncology services in northern Israel aimed at improving patients' quality of life during chemotherapy and advanced cancer. The authors address barriers to integration of traditional and complementary medicine in supportive care of Arab patients and propose six practical recommendations aimed at improving patients' access to integrative supportive care as well as compliance with treatments. This paper emphasizes the need to base integrative oncology on a sensitive cross-cultural approach that takes into consideration social, cultural, and spiritual elements.The paper by M. Schaltz et al. intensifies this cross-cultural theme by reflecting on palliative care from the perspective of Jewish and Islamic traditions. The collaboration in this paper between M. Schultz and K. Baddarni, two scholars in spiritual supportive care in northern Israel, highlights the richness of therapeutic dialogue between Muslim and Jewish health care providers who share faith in the role of the integrative dialogue. This paper summarizes ethical, religious, and spiritual insights gleaned in the management of patients in the community-centered Al-Taj organization and in the oncology department in Rambam health care campus, which is named for the renowned Jewish physician Maimonides.The paper authored by I. Cantarero-Villanueva et al. from Granada presents the flavor of the ancient cities of southern Spain, the backdrop for the Golden Age of collaborative Muslim and Jewish physicians, including Maimonides and the followers of Ibn-Sina, the most prominent Islamic medicine scholar. In this paper, the authors evaluated, in a randomized controlled trial, the effects of a multimodal exercise and massage program on the well-being of breast cancer survivors. The reduced fatigue, tension, depression, and improved vigor and muscle strength after intervention and 6 months after discharge are remarkable and support the need for other rigorous trials in the integrative oncology field.alternative) to CIM (with emphasis on integrative) that will enable patients and physicians to discuss complementary use in an open nonjudgmental context. Moving from West to East across the Mediterranean and West Asia, the paper by P. Puataweeponge et al. presents the notion of complementary medicine in Bangkok, Thailand. The authors present a study regarding CAM use by a large cohort of cancer patients attending outpatient radiotherapy treatment in Thailand. The high prevalence of CAM use of more than 60% is notable in light of the patient-oncologist communication gap illustrated by the high prevalence (58.3%) of patients who did not disclose CAM use to their doctors. This communication aspect should raise concern when 9.4% of patients in this study reported side effects of CAM treatments. Moreover, this study emphasizes the need for a paradigm shift from CAM (with emphasis on in vitro research elements needed to base any clinical integrative oncology activity. Zhang et al. from China report. the anticancer effects of the photochemical Zerumbone, isolated from the plant Zingiber zerumbet Smith. Although additional rigorous studies are warranted, the promising apoptosis induction effect of this plant on pancreatic carcinoma cell lines may suggest that ginger and related plants may have anticancer properties in addition to their beneficial effect in chemotherapy-related nausea and vomiting. In the paper by Y. H. Liu et al. from neighboring Taiwan, they studied Abrin, a protein purified from the seeds of Abrus precatorius, and reported that prohibitin, a tumor-suppressing protein, plays a role in abrin-induced apoptosis. These findings join the growing number of promising studies in integrative oncology that may support development of new and, in some cases, traditional medicine-based, therapeutic agents and modalities for the benefit of patients with cancer across the globe. Two papers in this issue present the fundamental"}
+{"text": "The Western Palearctic (WP) is composed of Europe, Middle East and North Africa. In this territory, the Mediterranean Sea, and the land under the influence of the Mediterranean Sea is the most important geographical character for both migration and dispersion of organisms; especially for invertebrates including sand flies. Anatolia (Asia-Minor) takes place on the crossroads of this area and these events.The phlebotomine sand flies are vectors of several infectious pathogens causing leishmaniases and arbovirus infections due to phleboviruses. Several of these diseases have wide geographical distributions in the WP, and give rise to occasional epidemic outbreaks. In numerous countries, increasing risk factors are making sand fly-borne diseases a major public and veterinary health problem. Many studies on phylogenetic relationship among sand fly taxa, their distribution, population structure and diseases of phlebotomine species have been already published, but there are still many gaps waiting to be filled up in, especially, Anatolia. In this point, scientists have to discuss some deficiencies under cover of geography, history and phylogenetic studies to understand the mechanisms of distribution of both sand fly species and their pathogens in Anatolia.In this presentation, updates in distribution of sand fly species with state of art maps of EU-VBORNET project, possible new species, leishmaniasis and phleboviruses epidemiology will be discussed with an emphasis on several studies performed by our group between 2000 and present in Anatolia.Studies were supported by EU-FP7 Edenext project, HU-Scientific Research Foundation and Turkish Scientific and Technical Research Council."}
+{"text": "Water-electrolyte disturbances are one of the most common complications of acute brain injury of various origins, threatening the life of the patient and requiring timely correction. In this work we studied the structure of water-electrolyte complications in patients in the neurological intensive care with acute brain injury.We analyzed 259 cases of water-electrolyte disturbances that developed in patients treated in the Department of Intensive Care of Russian Polenov's Neurosurgical Institute from 2001 to 2012. Patients were between 16 and 55 years old. A total of 142 patients were operated for brain tumor, 72 of them of basal-supratentorial localization; eight severe brain trauma; 62 of the hemorrhagic type of stroke, one herpes encephalitis. We excluded from this study the patients with heart and renal failure receiving diuretics. We measured BP, HR, CVP, hourly and daily urine output, level of K and Na in plasma, brain natriuretic peptide (BNP) one to four times a day, and levels of K and Na in urine in single and daily servings. All patients were receiving dexamethasone at a dose between 8 and 32 mg/day as an anti-edema therapy, and thus levels of ACTH and cortisol were not investigated.Central diabetes insipidus (CDI) developed in 106 patients. Against the background of substitution therapy, we did not observe the development of complications, hypovolemia, hypernatremia, or hyperosmolality. Out of 48 cases of CSWS, in 12 cases the symptoms interleaved with the symptoms of CDI. For 24 patients, CSWS was complicated by depressed consciousness, for three patients by convulsions against the background of hypovolemia, hyponatremia, or hypo-osmolality. No correlation between BPN level and absence of CSWS symptoms was found.In patients with acute brain trauma we observed two syndromes causing water-electrolyte disturbance - CDI and CSWS. CSWS generally is more severe than CDI. We could not determine a correlation between BPN level and the absence of presence of the CSWS symptoms."}
+{"text": "Advanced glycation end-products (AGEs) generated with aging or in the presence of diabetes mellitus, particularly AGEs derived from the glucose/fructose metabolism intermediate glyceraldehyde ), were recently shown to be closely involved in the onset/progression of diabetic vascular complications via the receptor for AGEs (RAGE). TAGE also contribute to various diseases, such as cardiovascular disease; nonalcoholic steatohepatitis; cancer; Alzheimer\u2019s disease, and; infertility. This suggests the necessity of minimizing the influence of the TAGE-RAGE axis in order to prevent the onset/progression of lifestyle-related diseases (LSRD) and establish therapeutic strategies. Changes in serum TAGE levels are closely associated with LSRD related to overeating, a lack of exercise, or excessive ingestion of sugars/dietary AGEs. We also showed that serum TAGE levels, but not those of hemoglobin A1c, glucose-derived AGEs, or N\u03b5-(carboxymethyl)lysine, have potential as a biomarker for predicting the progression of atherosclerosis and future cardiovascular events. We herein introduce the usefulness of serum TAGE levels as a biomarker for the prevention/early diagnosis of LSRD and the evaluation of the efficacy of treatments; we discuss whether dietary AGE/sugar intake restrictions reduce the generation/accumulation of TAGE, thereby preventing the onset/progression of LSRD. Diabetes mellitus (DM) is one of the largest global health emergencies of the 21st century. Increases are reported each year in the number of individuals with this hyperglycemic condition, which may result in life-changing complications. In addition to the 415 million adults (this will increase to 642 million adults by 2040) already estimated to currently have DM (a DM-related death occurs every 6 s), there are 318 million adults with impaired glucose tolerance (IGT), which places them at high risk of developing the disease in the future ,8,9. We Hence, a focus was placed on TAGE and a specific competitive enzyme-linked immunosorbent assay (ELISA) was developed, and the clinical utility of measuring TAGE as a biomarker for evaluating disease activity in LSRD was examined.In vivo AGE generation is affected by sugar concentrations, the rate of turnover of the chemically modified target, and the time available. Increases in glucose concentrations were previously considered to have a major influence on the Maillard reaction; however, glucose is one of the least reactive sugars found in biological organisms fluorodeoxyglucose-positron emission tomography (FDG-PET) in outpatients in vitro ammation ,82. In aammation ,84,85.in vivo tumor growth of G361 cells . T. T103]. We evaluated the amounts of AGEs and sugars in beverages and foods, which cause the generation of TAGE in the body. We evaluated the amounts of various AGEs in 885 kinds of beverages and 767 kinds of food, and found that the amounts of AGEs derived from Glu-AGEs/Fru-AGEs (particularly Glu-AGEs) more accurately reflected the amounts of AGEs in beverages and foods than those of CML . Our evaet al. prospectively examined the relationship between the consumption of SSB and risk of DM from 17 cohorts [Imamura n years) . They reThe findings of our studies suggest that sugars are present at appreciable levels in common beverages , and exoThese findings are promising in that the concept of the restricted intake of AGEs and sugars in beverages and foods may be a new strategy when considering the suppressed generation/accumulation of TAGE and prevention of LSRD.As described above, changes in serum TAGE levels are closely associated with MetS and IR, postprandial hyperglycemia, dyslipidemia, and hypertension, which are related to overeating, the lack of exercise, or excessive ingestion of sugars (HFCS and sucrose)/dietary AGEs . We propThe characteristics of modern dietary habits promote the generation and accumulation of TAGE in the body, and are strongly involved in the onset and progression of LSRD. Thus, our findings provide a new concept of preventative measures against LSRD, including aging."}
+{"text": "Migration and trauma is a critical and timely area of inquiry given the enormous transnational migration occurring within the past year. The UN estimates there are over 244 million people living outside of their country of origin offer a unique look at the association between posttraumatic growth and dispositional optimism, perceived social support, and PTSD among 111 refugee and asylum-seeking adolescents. At least some PTG was reported by the sample. PTG and PTSD were not statistically significantly associated, but PTG was associated with higher levels of optimism and social support. This is one of the first studies conducted to explore these associations within an adolescent population and future research, especially longitudinal , People's Republic of ChinaBrian J. Hall Johns Hopkins Bloomberg School of Public Health Baltimore, MD, USA E-mail: brianhall@umac.mo; bhall31@jhu.eduDepartment of Health, Behavior, and Society Department of Psychiatry Academic Medical Center University of Amsterdam Amsterdam, The Netherlands Arq Psychotrauma Expert Group Diemen, The NetherlandsMiranda Olff"}
+{"text": "The seas are continuously pervaded by a broad range of contaminants entering the marine environment from polluted soils, the atmosphere, sewage, water transport or river streams (Shahidul Islam and Tanaka, Biomass transfer among species of a food web can be modeled using allometric scaling rules describing body size, consumption and metabolism (Yodzis and Innes, Geobacter spp. (Mahadevan et al., Shewanella oneidensis (Fredrickson et al., Pseudomonas putida (Nogales et al., The described efforts facilitated generic estimations of contaminant flows in ecosystems, but largely neglected the contribution of microorganisms to pollutant degradation. Specifically, PCBs can be dechlorinated and degraded by a range of bacteria (Borja et al., P. putida. First, the authors conducted an extensive literature review to complement a food web reconstruction (Coll et al., P. putida for constraint-based simulation of microbial PCB degradation. The study integrated two methodologically similar modeling approaches within a reaction-based ecological/microbial network representation, relying on the parallels between representing PCB concentrations and flows on the ecosystem level, and metabolite concentrations and reaction fluxes on the microbial cellular level. Therein, marine species groups resemble the representation of metabolites, while contaminant flows are modeled as reactions. This approach enabled the seamless integration of ecological and metabolic modeling techniques, providing the basis for multi-scale simulations of ecosystems.Taffi et al. have recP. putida. Further, the impact of different bioremediation scenarios on global and local network indices was assessed. Importantly, the generality of the proposed approach facilitates the integration of measured data, the incorporation of established techniques from ecological and metabolic modeling and the direct application of the methodology to other ecological and microbial networks. Thus, it can be used to guide the selection of appropriate bacteria and consortia (Thompson et al., The modeling approach was used to predict the influence of different microbial bioremediation strategies on the fate and distribution of PCBs in marine species of the Adriatic Sea. The effect of varying oxygen levels on microbial PCB degradation revealed a tradeoff between PCB uptake and growth of The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Objectives: The objective of this post-hoc exploratory analysis was to examine the relationship between age and measures of cortical excitability and inhibition.Methods: Forty-six participants completed MT, SICI, ICF, and CSP testing in a cross-sectional protocol. Of these 46 participants, 33 completed LICI testing. Multiple linear robust regression and Spearman partial correlation coefficient were used to examine the relationship between age and the TMS measures.Results: In the overall sample of 46 participants, age had a significant negative relationship with motor threshold (MT) in both the right and left hemispheres. This significant negative relationship of age with MT was also observed in the sample of depressed youth in both the right and left hemispheres, but not in healthy controls. In the sample of the 33 participants who completed LICI testing, age had a significant negative relationship with LICI in both the right and left hemispheres. This negative relationship between age and LICI was also observed in depressed youth in both the right and left hemispheres.Conclusion: These findings suggest that younger children have higher MTs. This is more pronounced in depressed youth than healthy controls. LICI inhibition may also increase with age in youth. Transcranial magnetic stimulation (TMS) measures of cortical excitability and inhibition have shown initial promise as biomarkers and for the study of neurophysiology in youth with attention deficit hyperactivity disorder which is a single pulse TMS measure and intracortical facilitation (ICF) which is a paired-pulse TMS measure. Prior human pharmacologic studies indicate that the MT is at least partially dependent on voltage-gated sodium channels while ICF is an indirect measure of glutamatergic N-methyl-D-aspartate (NMDA) mediated neurotransmission and excitability (MT and ICF) were collected during a single session. A subgroup of this cohort completed LICI testing during the same testing session. Study design details have been previously published and excitability . The TMS measures were log transformed to obtain a more normal distribution (because of skewness).The primary independent variable was patient age in years. Sex and CDRS-R total score were included as covariates in the models to bolster precision in the evaluation of the relationship between age and each measure of cortical inhibitory or excitatory functioning. Some were used to examine the relationship between age and TMS measures of cortical inhibition and excitability in the overall sample, while adjusting for sex and CDRS-R total score, and then separately in depressed youth and healthy controls, while adjusting for sex. The estimated slope from the regression model indicates the mean change in each TMS measure per one-year increase in age, while the sample correlation coefficient indicates not only direction, but also strength of the linear relationship between age and each TMS measure. The Spearman partial correlation coefficient can also be interpreted as the effect size estimator in evaluating the magnitude of the relationship between age and each TMS measure.This was an exploratory study with the aim of investigating the impact of age on measures of cortical inhibition and excitability in youth. Analyses were performed on the entire sample and then on subgroups of healthy and depressed youth. The rationale for this approach was to maximize limited data and with the realization that the impact of depression or depression severity on these neurophysiological measures is not definitively known. Demographic and clinical characteristics for the overall sample of patients and for depressed youth and healthy controls were described using the sample mean and standard deviation for continuous variables and the frequency and percentage for categorical variables. Multiple linear robust regression (with MM estimation) and the Spearman partial correlation coefficient (post-hoc) regression models (similar to that described above) by evaluating the interaction effect of group with age on the TMS measure. Comparing the regression parameters (slopes) between groups was used to assess if the mean change in the TMS measure per one-year increase in age was different between healthy controls and MDD patients.Regression coefficients found to have statistical significance for each of the two groups in the abovementioned regression analysis, were then tested in subsequent . The level of significance for all tests was set at \u03b1 = 0.05 (two-tailed). We implemented the False Discovery Rate procedure with MDD completed MT, SICI, ICF, and CSP testing. Demographics of the sample are also characterized our prior publication. In comparing participants with MDD and healthy controls, there were no statistically significant differences in age, sex, or handedness and left hemispheres. This significant negative relationship of age with MT, while adjusting for sex, was also observed in the sample of depressed youth in both the right and left hemispheres, but not in healthy controls. Note that lower MT values reflect increased excitability. We also present scatterplots of the log transformed MT values (left and right hemispheres) against age, with a fitted regression line and 95% confidence limits, by depressed youth and healthy controls and left hemispheres. This negative relationship between age and LICI , while adjusting for sex, was also observed in depressed participants and left hemispheres and in healthy controls . Note that lower LICI values reflect increased inhibition. Scatterplots of the log transformed LICI values (left and right hemispheres) against age, with a fitted regression line and 95% confidence limits, by depressed youth and healthy controls are presented in Figures post-hoc results of the interaction of group with age indicated that the slope of the regression of LICI-200 ms on age was similar for both healthy controls and MDD patients in the left hemisphere in both the right the MT was unobtainable with maximum output of the stimulator had a statistically significant negative relationship with age in depressed youth, but not in healthy control participants. It is important to acknowledge the lack of a relationship may be attributable to low power, given the high degree of variability in the measure in general. Lower LICI ratios signify greater inhibition and increased GABAA receptors decreases from childhood to adulthood Great Neck, New York; and Pfizer Inc., New York, NY. He has served as a site subprincipal or principal investigator for Eli Lilly and Co, Indianapolis, Indiana; Forest Laboratories, Inc., New York, NY; Merck and Co, Inc., Whitehouse Station, New Jersey; and Pfizer Inc.Mustafa M. Husain has received research support from the National Institute of Mental Healthy, Stanley Medical Research Institute, Cyberonics, Inc., Pfizer, Inc., Neuronetics Inc., Magstim; has served as a consultant for AstraZeneca; served on speaker bureau for AstraZeneca, Bristol-Meyers-Squibb, and Abbott Laboratories.Graham J. Emslie has received research support from the National Institute of Mental Health, Biobehavioral Diagnostic Inc., BioMarin, Duke University, Eli Lilly, Forest Laboratories, GlaxoSmithKline, Mylan, and Somerset; has served as a consultant for Alkermes, Inc., Allergan, NCS Pearson , Bristol-Myers Squibb, Eli Lilly, Forest Laboratories, GlaxoSmithKline, INC Research Inc., Lundbeck, Merck, Pfizer, Seaside Therapeutics, Shire, the Texas Department of State Health Services, University of Miami, Valeant, and Wyeth; and was on the Speakers Bureau for Forest Laboratories.In the last 5 years, Zafiris J. Daskalakis received research and equipment in-kind support for an investigator-initiated study through Brainsway Inc. and a travel allowance through Merck. Zafiris J. Daskalakis has also received speaker funding through Sepracor Inc., AstraZeneca and served on the advisory board for Hoffmann-La Roche Limited and Merck and received speaker support from Eli Lilly.Drs. Paul A. Nakonezny, Charles P. Lewis, Michael J. Zaccariello, John E. Huxsahl, and Betsy D. Kennard have no disclosures.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "We report our experience in a University Hospital 2012-2013) and in the School of Medicine (2001-2013) in courses committed to promote original thought, to provide basic and operationally useful skills, to teach and to explore the possibilities of setting up networks and existing collaborations. The contribution of ideas, resources, skills and tenacity is the basis for strategic researches aimed at promoting quality, effectiveness and efficiency of health systems. The specific environments and healthcare organizations for which the research is a structural mission need quality and visibility, indicators of quality and efficiency. Vocational training integrated and participated within all the active components with a clinical profile will facilitate those who wish to plan projects also with international European profile 2-2013 an.1) Actual research ongoing in the individual clinical institutions, by the presentation of projects implemented or under way, regardless of specific funding.2) Strategies of Project Management through an analysis of the context (scenario), feasibility, impact and contingency plans.3) Realistic prospects for fundraising, public and private, building-up overviews of applied research with the contribution of all students. The course implements the explicit use of methodologies of data-mining and the subsequent elemental analysis of usable information:a) predictive models,b) assessments of sensitivity/specificity (diagnostic tests),c) comparative analysis of the risks in case-control or randomized studies, and the calculation of the required number,d) comparison of averages or changes of measures in sequential studies,d) definition of some possibilities for translational research with the development of models.The expertise in clinical research is limited in most institution and not fully oriented toward Predictive, Preventive, and Personalized Medicine (PPPM) concepts and goals. The consequence is that most funded research are addressed to innovative fields but show often limited attention to a shared patient-physician center strategy, to integration and even to outcome. These trainings to be comprehensive and effective must move along PPPM directives; these must be included in the projects that should be independently supported (such as EU funding) within competitive calls. The goal is overcoming the gap among predictive, preventive and personalized medicine training professionals \u2013 not only MDs -, for sustainable and rewarding research projects, including nutrition and lifestyle chance strategies by health psychology tools. The promotion of the professional quality in translational research is the pre-requisite for innovative best practices and their dissemination of the most high impact information."}
+{"text": "This series of papers focuses on a quality of care framework for maternal health, and systematically reviews the evidence of interventions aimed at improving care at the community-, district- and factility-levels. While the systematic reviews highlight the effectiveness of specific quality improvement efforts on maternal and newborn health, it also illlustrates the dearth of evidence on community-, district- and facility-level interventions, particulary for issues specific to quality of maternal health care and maternal newborn health outcomes. Further evidence is now needed to evaluate the best possible combination of the strategies. Governments, stakeholders and donors need to work together to form these policies and develop models of health care to suit the needs of their own population. This series of papers focuses on a quality of care framework for maternal health, and systematically reviews the evidence of interventions aimed at improving care at the community-, district- and factility-levels. The approaches included in this paper had an effect on process and outcome measures for mothers and newborn health (MNH). Effects on other types of outcomes, while important, are not included in this analysis. In this final paper of the series, we summarize the most critical findings, and highlight the evidence gaps and research priorities identified through the analysis of the scientific literature. We also discuss the methodological quality of the existing evidence and areas for further advancement of the maternal and newborn health agenda, particularly in low and middle income countries (LMIC) -4.At the community-level, home visitation, community mobilization, women\u2019s support groups and the training of community health workers (CHW) and traditional birth attendants (TBA) have shown significant and positive impacts on MNH outcomes. The community-based generation of funds for transportation also had an effect on access to MNH care in resource limited settings of India and sub-Saharan Africa. Mid-level health worker based care (MLHW) has not only demonstrated outcomes comparable to routine non-MLHW care delivery but also reported better results for some of the outcomes. Many of the interventions, including specialized outreach clinics, continuing medical education, problem-based learning, clinical practice guideline implementation and critical appraisal, showed inconclusive and mixed results on the quality of MNH care or MNH outcomes. Table At the district-level, user directed financial incentives have shown to improve quality of care indicators, with conditional cash transfers and maternal voucher schemes having the most significant positive impacts across a range of MNH outcomes.At the facility-level, evidence suggests that standardized or individualized social support programs and continuity of specialized midwifery care throughout pregnancy, labor and postnatal period have the potential to improve a range of perinatal, maternal, and labor specific indicators. To maintain performance and motivation among the healthcare workers, stress management trainings, multidisciplinary meetings and feedback sessions can reduce work related stress and improve performance. There was limited and inconclusive evidence for the impacts of physical environment, exit interviews and organizational culture modification on any MNH process or outcome measures. Table As discussed in paper 1 [\u2022 In-service training and specialty teams have conclusive benefits in improving maternal health outcomes.\u2022 Social support during pregnancy interventions reduce antenatal hospitalization and caesarean delivery\u2022 Strategies to improve professional practice were reported to have a significant positive effect on the desired practice.While the systematic reviews highlight the effectiveness of specific quality improvement efforts on maternal and newborn health, it also illlustrates the dearth of evidence on community-, district- and facility-level interventions, particulary for issues specific to quality of maternal health care and MNH outcomes. This is particularly evident during the most hazardous time period for women (last trimester of pregnancy to the first week post-partum) when the majority of maternal deaths and severe morbidities occur.Community-based quality improvement interventions were widely assessed for their effectiveness in improving MNH outcomes in low and middle income countries (LMIC). At the district-level, evidence from financial incentives was available from both high-income countries (HIC) and LMIC settings. Other interventions at the district-level were mainly evaluated in HIC settings. Given the differences in LMIC and HIC countries\u2019 infrastructure and health systems, there is limited generalizability of findings across countries. There is also an information gap on the effectiveness of these interventions on different population groups that may represent within-country disparities.At the district-level, many of the components of leadership, supervision, health information systems and staffing models had limited evidence of impact on the quality of maternal healthcare, or on MNH outcomes. Overall, very few maternal health specific outcomes were observed at the district-level. Although financial incentives, both user- and provider-directed, have been widely evaluated for their effectiveness in improving MNH outcomes, audits, feedbacks and information systems are mostly evaluated in the context of general health outcomes. Moreover, reviews focusing on MNH specific interventions, like maternal and perinatal mortality audits, require strong, standardized data collection mechanisms to evaluate their effectiveness. Improving the health information systems in countries is necessary for any evaluation of the impact of mortality audits.From the facility-level evidence, most of the findings from social support and specialized midwifery teams programs during pregnancy and labor were limited to HIC. There is limited evidence on the effects of these interventions on maternal and newborn health outcomes in LMIC. There is also a lack of data evaluating the effectiveness of structural and cultural changes, educational interventions, and the facility mix of staff skills. Future research on the impact of these interventions (at the facility-level) on quality of maternal health care and specific maternal health outcomes in LMIC\u2019s is essential in order to make evidence-based recommendations for better policies, programs and practice.Very few of these studies provided evidence on sustainability and scale up, particularly in countries where resources are constrained and health systems are weak. Recent studies in Uganda and Ghana have highlighted the challenges in scaling up interventions that have been proven effective ,6. InterThere are currently several innovative interventions that are being implemented globally to improve the quality of maternal health services. The Maternal Health Task Force, for example, is currently supporting multiple research projects aimed to improve referral systems, increase the use of novel methodologies to train providers, introduce innovative approaches to supportive supervision and mentoring, increase access to blood products, develop professional organizations, among many others. The results of the evaluation of the impact of these programs on the quality of maternal care may fill many of the informational gaps in the Quality of Maternal Care Framework that this systematic review has utilized.Finally, qualitative data describing individual components of the interventions for reproducibility will be invaluable for scale up and sustainability. Further evidence is now needed to evaluate the best possible combination of the strategies. Governments, stakeholders and donors need to work together to form these policies and develop models of health care to suit the needs of their own population. This will further lead to outlining approaches that enable health care providers either in the community or in a facility, and program managers at the district-level, to adopt and implement patient-centered, evidence-based interventions to improve the quality of care during childbirth and the immediate postpartum period.Research and programming priorities are summarised in Table We do not have any financial or non-financial competing interests for this review.All authors contributed in writing the paper.Click here for file"}
+{"text": "The mini-review stemmed from a recent meeting on national aging research strategies in China discusses the components and challenges of aging research in China. Highlighted are the major efforts of a number of research teams, funding situations and outstanding examples of recent major research achievements. Finally, authors discuss potential targets and strategies of aging research in China. China Aging Development Report (2013), the severity of the aging population China faced is rarely seen elsewhere in the world. By the end of 2012, China\u2019s elderly population (aged 60 and above) had totaled 194 million, taking up 14.3% of total population; the elderly population aged 65 and above had reached 123 million\u2014constituting one fifth of the world\u2019s elderly population. By 2030, China\u2019s elderly population is expected to reach 400 million, equivalent to the total population of 15 EU countries. China is the country with not only the world\u2019s largest population, but also a country holds the largest elderly population.According to The increases in age-related diseases and the consequent rise in health care costs caused by the decline in the health status along with the aging of the population have brought increasing pressure and burden to the society, families and individuals joint research.Research on aging and related diseases in China has received significant support from the National Natural Science Foundation of China (NSFC), the Ministry of Science and Technology of China (MOST), the National Health and Family Planning Commission of China (NHFPC), and local departments over the last decades. NSFC has supported approximately 55 million of US dollars on aging research over the past decade Fig.\u00a0. The supIn recent years, China has made significant progress in the research of aging and anti-aging, and the underlying mechanisms. A number of funding programs, such as \u201cThousand Talents\u00a0Program \u201d, \u201cNational Science Fund for Distinguished Young Scholars\u201d, distinguished professors of \u201cChangjiang Scholars Program\u201d, and \u201cHundred Talents Program of the Chinese Academy of Sciences\u201d have been in place to encourage biomedical research including aging and anti-aging research. A brief of made-in-China achievements and summaries in distinct aging research fields is summarized as the following.CETP 405\u00a0V is protective in Ashkenazi Jews but may be a risk allele against longevity in the Chinese population, and that the gene interaction between CETP and APOE polymorphisms confers higher risk of hypertriglyceridemia on Chinese women are closely related to the occurrence of aging and aging-related diseases from Terc\u2212/\u2212 SCNT embryos have stronger differentiation potential and self-renewal capacity compared with that of Terc\u2212/\u2212 iPSCs. It is noteworthy that the telomere lengths in SCNT cloned embryos are significantly lengthened, and the capping function of telomeres in Terc\u2212/\u2212 ntESCs is enhanced. In addition, the mitochondrial function of Terc/iPSCs and their differentiated derivatives is severely impaired, while the mitochondrial function in Terc\u2212/\u2212 ntESCs is considerably improved technology enables the creation of cell models of progeria and geriatrics in laboratory conditions, for studying disease mechanisms and drug screening. Meanwhile, human pluripotent stem cells and gene targeting technologies can assist the knockout or modification of any protein from human stem cells, therefore facilitating the functional study of the proteins in organisms with aging and diseases inflames surrounding cells of the same and other cell types leading to tissue degeneration, and continuous accumulation results in irreversible losses of differentiated function and pathological changes of the diseased tissue. Anti-aging is also a process involving corrections and/or removals of damaged molecules, the clearance of senescent cells, as well as proliferation and differentiation of stem/progenitor (precursor) cells. Aging and anti-aging process coexist as aging, anti-aging factors, and injury, repair and regeneration are also in parallel. For instance, interactions of inert and reactive bioactive assemblies and the consequent chemical reaction would free or slowly cross-link the biological molecules, and altered oxidative product may produce damaging molecules precipitating aging of the biological tissues. In addition, aging and damage of cellular organelles may be the pathophysiological basis of many neural aging-related diseases such as Alzheimer\u2019s disease (AD) and Parkinson\u2019s disease (PD), while the replication and regeneration of cells may be the promising approach to vanquish many mitotic aging-related diseases Liu, . MobilizAging of the organism, tissues, and organs is the main cause of functional decline, and the premature aging of tissues and organs is the utmost pathological basis for chronic degenerative diseases. Tissue and organ specificity of aging are common for most chronic degenerative diseases, such as AD, atherosclerosis, pulmonary fibrosis, muscular dystrophy, osteoporosis, obesity, diabetes, menopause syndrome, which are related to the premature aging of tissue-specific cells. Aging of organism, tissues, or cells is a complicated and irreversible process, but the time when it occurs and the pace of the process may be regulated. Facing the need to slow down the aging process of the organism and organs, as well as to prevent common chronic diseases, a fundamental understanding of the cause of aging and the causes of aging developing into diseases is a hot topic in the current medical biological research field has not been well recognized as the primary factors of most non-infectious chronic diseases. Although the central government has been increasing its research budgets continuously in aging research, contributions from the state governments and the private sections have not been considered as high priority to aging research and development. As a matter of fact, with improved living conditions and life expectancies in China, there are significant demands and interests of the general population in detecting premature aging and delaying aging occurrence. In addition, international collaborations in promoting aging research have until recently been on the agenda including our organizing the \u201cShuangqing\u201d forum and a number of other activities from universities, hospitals, and Chinese Academy of Science. Unfortunately, a national-wide database incorporating information of aging-related resources is yet to be established, which requires urgent actions from aging research organizations and researchers. On the other hand, collaborations between hospitals and basic research institutes are lacking which hinders the development of gerontology and geriatrics. The phenomenon of being more difficult for an aging disease to find its way to geriatrics than for ill children to be sent to pediatrics may well reflect currently poor understandings of the mechanisms and biomarkers of aging bodies for clinical practice, making the translational aging research struggle to develop. While many challenges and weakness of aging research in China may be shared by global situations, we highlight at least but not last the following a few that are particularly sought after for development in China:(1) The impact of particular environmental factors, various foods, and exercise levels on aging and lifespan, (2) Genetic traits and epigenetic specificities affected by stress in premature aging and aging related diseases including metabolic disorder and cancers in liver, digestive tracts, and lung, (3) Effect of endocrine/paracrine/autocrine hormones and cytokines, microorganisms, inflammatory/immune responses on tissue and organ aging, (4) Repair mechanisms of stem cells and key enzyme molecules in aging damages, (5) Tissue- and organ-specific mechanisms of aging and diagnostic markers.Numerous tasks need to be done prior to achieving the final goal of preventing and reducing aging-related diseases. By means of original innovative research, it would be important to achieve 3 major comprehensive objectives. Firstly, at the molecular and cellular levels, it would be important to understand the basis of aging, to clarify the molecular characteristics of different types of cellular aging and their roles in the aging of tissues and organs, regulatory networks, plasticity, and clearance mechanisms; to clarify the regulatory mechanism of the change of sub-cellular structure of eukaryotic cell aging in aging and anti-aging process; to clarify the basic structure and spatial conformation of different key molecules and to analyze the binding structural domain of interacting molecules and small molecules; to analyze direct and indirect (epi-)genetic regulatory network of different genes, especially to identify and control the key transcription factors mediating aging process; to unveil the regulation and effect of key environmental factors, especially the microflora in different tissues (such as intestine), excessive nutrients, toxic molecules, as well as exercises and sleep, etc. on the aging of tissues and organs.Second, at the levels of tissue- and organ-specific aging, it would be important to clarify the transition of aging damage to pathological damage and the composition and structural alteration; to clarify the source, function, and regulatory environment of triggers to aging and aging-related diseases; to clarify the susceptible parts of aging organelle/tissue/organ, and the complicated etiology of aging-related diseases; to rationalize and establish the relationship among the causes, to strengthen the research in the compensatory effect of aging development into aging-related diseases; to set out the mechanism, reagents, and methods for early intervention in the transition from aging to aging-related diseases in the micro environment; to clarify the definition of physiological aging and pathological aging of organisms as well as the definition of healthy lifespan; to clarify the similarities and differences in the lifespan regulation of non-vertebrates, invertebrates, and mammals and to clarify the disease susceptibility and resistance mechanisms of different models to aging-related diseases; to clarify the functional ingredients of natural medicine (including Chinese medicine), the role of new, small molecule compounds and clinical drugs , and the regulatory mechanism of other environmental factors to mammalian lifespan.Third, at the levels of particular diseases, it would be important to clarify the role of signaling pathway impairment and pathological basis in the occurrence and development of aging-related diseases through the analysis of animal/human disease models; to clarify the role of stem (precursor) cells and their aging in aging and different common aging-related diseases; to clarify the molecular biological characteristics and development in the research models of brain aging-related diseases , vascular aging-related diseases, marrow aging-related diseases, lung aging-related diseases, and ovarian aging-related diseases; to clarify the mechanisms of prevention of aging-related diseases via either inhibiting key aging molecules or activating anti-aging molecules, thus providing the basis and strategies for further research on the prevention and treatment.It is possible that senescence of a single or a group of cells in certain tissues and organs seeds tissue specific aging which paves, and is a prelude of, aging-related diseases. Such senescent cells suffer irreversible damages, therefore being amplified to cause loss of normal function of aged tissues and organs. Current aging research in China may need to collaborate with researchers in other countries to integrate the approaches of molecular imaging, stem cell biology, molecular genetics and genomics, molecular pathology, histology and embryology, systematic biology, bioinformatics, and clinical medicine to conduct research at different levels of aging and related diseases. Research of aging and aging-related diseases is a great challenge and opportunity in the 21st century. Although it has experienced a long history, aging research is still limited especially on the transition from aging to aging diseases. In-depth and extensive exploration on key molecules and critical mechanisms are still very much sought after. The complexities of various body tissues and differences in structures and functions bring massive difficulties in human anti-aging research. However, the discovery of stem cell plasticity, and continuous breakthroughs in verification of the causal relationship between molecules and aging-related diseases, for example, using different cell culture systems and animal models, have provided opportunity for collaborative innovation in the research on aging and aging-related diseases."}
+{"text": "Comparison of epidemiological studies of JIA is challenging due to many influencing factors, mainly differences in classification criteria or study designs . Recently, longitudinal cohort studies have provided important contributions to the understanding of the disease course of JIA in the long run. Latest advances in research of incidence and prevalence of JIA will be highlighted and discussed to facilitate understanding the consequences of epidemiological knowledge of the disease.P. Lahdenne Speakers Bureau of: Consultancy and speaker\u2019s fees from Pfizer, Abbvie, Roche, Novartis"}
+{"text": "Guidelines for the Prevention and Treatment of Opportunistic Infections in HIV-Exposed and HIV-Infected Children are now available on the AIDSinfo website ( http://aidsinfo.nih.gov/contentfiles/lvguidelines/oi_guidelines_pediatrics.pdf ). These guidelines update the last version of the guidelines published in 2009. They are intended for use by clinicians and health care workers providing medical care for human immunodeficiency virus (HIV)-exposed and HIV-infected children in the United States.The The guidelines include a discussion of opportunistic pathogens that occur in the United States and ones that might be acquired during international travel, such as malaria. The section for each opportunistic infection (OI) includes a brief description of the epidemiology, clinical presentation, and diagnosis of the OI in children; prevention of exposure; prevention of first episode of disease; discontinuation of primary prophylaxis after immune reconstitution; treatment of disease; monitoring for adverse effects during treatment, including immune reconstitution inflammatory syndrome (IRIS); management of treatment failure; prevention of disease recurrence; and discontinuation of secondary prophylaxis after immune reconstitution. Recommendations are rated using a system that indicates the strength of each recommendation and the quality of evidence supporting it.Major changes in the guidelines include 1) greater emphasis on the importance of antiretroviral therapy (ART) for preventing and treating OIs, especially those OIs for which no specific therapy exists; 2) increased information about the diagnosis and management of IRIS; 3) additional information about managing ART in children with OIs, including potential drug\u2013drug interactions; 4) updated immunization recommendations for HIV-exposed and HIV-infected children, including pneumococcal, human papillomavirus, meningococcal, and rotavirus vaccines; 5) addition of sections on influenza, giardiasis, and isosporiasis; 6) elimination of sections on aspergillosis, bartonellosis, and human herpes virus (HHV-6 and HHV-7) infections; and 7) updated recommendations on discontinuation of OI prophylaxis after immune reconstitution in children."}
+{"text": "Development the personalized programs of rehabilitation for inhabitants of industrial cities with Chronic Fatigue Syndrome (CFS) and stress-induced diseases is actual up-to-date problem.85 patients with combined myofascial pain in the cervical part of the vertebral column and chronic fatigue syndrome were examined. Clinical neurological examination was conducted to identify the role of myotonic neck \u201ctunnel- syndromes\u201d and biomechanically significant biomarkers in the cervical spine for affect the cerebral blood flow. EEG- examination was carried out to assess the state of brain activity, the definition of cortical areas responsive to the effects of stress factors and hemispheric interactions, as correlates of memory. The NEC-method of visualization used to study the biochemical markers \u2013 the level of cerebral metabolism and adaptation possibilities. 15 patients used genetic test for indication genes of metabolism (genes of phase I and phase II).Main complains in patients were: headache, fatigue, memory, sleep problems. Disorders in the cognitive, personal, emotional status had all patients. Neuro-vertebral examination had revealed biomechanical markers-disturbances of muscular coordination, muscular hypertension, rigidity in the shoulder girdle, syndrome of upper aperture, kyphosis, postural displacement and the lymphodinamic disturbances \u2013 edematosity of the axillary and subclavicular areas. EEG and NEC analysis revealed signs of functional inter-hemispheric asymmetry of bioelectrical activity in 80% of patients and different levels of cerebral acidosis as biomarker for brain hypoxia. Genetic tests revealed decreasing genes activity of phase II detoxification in 7 patients. Clinical and instrumental observations allow us to offer some statements. New mechanisms of non-specific base of CFS are: stress \u2013 short term or long term muscle spasm and lack of oxygen increase the density of muscles and lead to 3-level \u201ctunnels\u201d intervertebral (compression of nerves), intramuscular (compression of blood vessels) and intrafascial (compression of lymphatic and nodes), Retrograde lymph flow and intoxication of the intersticial matrix are suppose to be the grain for CFS and specific pathologidcal processes. The personalized integrative schemes of rehabilitation were worked out for patients with different postural, neurovascular and lymphodinamic disturbances for correction of muscle-tonic syndrome in the neck, cranio-vertebral region, for improving the cerebral metabolism and liquorodynamics. Methods of intermitted hypoxia therapy were used in the case of cerebral acidosis; adoptive gymnastics was used for patients with postural problems; nutrigenomic diet was recommended to patients for increasing phase II of detoxification.Comprehensive personalized rehabilitation of the patients with CFS improved their clinical and emotional background, memory and cognitive functions. EEG and NEC examination marked the trends in recovery of inter-hemispheric connections, normalization of the bioelectrical activity in the brain and improvement of cerebral metabolism."}
+{"text": "Nurses are in key positions to plan and implement alcohol screening and brief intervention (aSBI). To simultaneously advance aSBI of nurses in various roles, we developed a self-paced program for Clinical Nurse Leaders, Nurse Informaticists, Nurse Administrators, and Registered Nurses including Advanced Practice Nurses. The content for the program is based on the Centers for Disease Control & Prevention (CDC) 2014 Planning and Implementation Screening and Brief Intervention for Risky Alcohol Use: A Step-by-Step Guide for Primary Care Practices. The objective is to present the results of a cooperative agreement between the Centers for Disease Control & Prevention, Johns Hopkins School of Nursing, and the University of Pittsburgh School of Nursing. The framework used to design the aSBI Program and key aspects of the program will be demonstrated and discussed.The aSBI Program flow, depicted in the CDC guide defined the modules for learning: patient population, assess alcohol consumption, negative screen (and subsequent conversation), positive screen (and assessment of harm and dependence), brief intervention and referral to treatment. The modules were developed using Articulate Storyline, the premier rapid e-learning development platform, and hosted on a learning management system. Special focus was given to the assessment portion of the e-learning modules to ensure learners are provided with authentic assessments that accurately measure their mastery of real-world skills needed to be successful when applying the module educational materials.When finalized, the self-paced aSBI Program, funded by the American Association of Colleges of Nursing through the CDC, will be widely disseminated to the nursing community across the U.S.This easily accessible on-line educational program will bring evidence-based alcohol screening and intervention to current and future nurses."}
+{"text": "Hystrix javanica) and its immunolocalization.To identify the types of endocrine cells in the pancreas of the Sunda porcupine in pancreatic tissues were detected using the avidin-biotin-peroxidase complex method.Five adult The fusiform, round, and oval form endocrine cells were detected in the islets of Langerhans and exocrine parts. Most of the insulin cells were found in the central area, glucagon cells were identified in the central and peripheral areas, and somatostatin and PP cells were detected in the mantle area of the islets of Langerhans. Glucagon and somatostatin cells were also detected in smaller numbers of peripheral parts of the islet. In all of the islet parts, glucagon endocrine cells were most prevalent cell type and then, somatostatin, insulin, and PP. In the exocrine parts, PP, somatostatin, glucagon, and insulin endocrine cells were found in the inter-acinus part with moderate, moderate, a few and rare numbers, in that order. In the pancreatic duct, glucagon and somatostatin cells were found between epithelial cells in rare numbers.H. javanica) contains four types of major pancreatic endocrine cells with approximately similar distribution patterns to the other rodents, except for abundant glucagon cells in the peripheral area of the islets of Langerhans.The pancreas of Sunda porcupine ( Hystrix javanica, belonging to the genus Hystrix in the family Hystricidae is one of the Old World porcupines [The Sunda porcupine, rcupines . There arcupines ,3.The pancreas is a composite gland consisting of exocrine and endocrine parts. The exocrine part consists of acini that secrete digestive enzymes into ducts. The endocrine part, the pancreatic islets (islets of Langerhans), consists of masses of endocrine cells embedded within the exocrine pancreas, where pancreatic hormones of insulin, glucagon, somatostatin, and pancreatic polypeptide (PP) are distributed into the whole body via blood vessels. The presence, distribution, and immunoreactivities of these regulatory hormones secreted by endocrine cells in the pancreas were well understood by histochemistry , immunofHystrix cristata), which belongs to the subgenus Hystrix of the genus Hystrix [H. cristata were limited on its basic morphology and localization of only 3 kind endocrine cells. There are no other data of pancreas on other porcupine species are available. In this research, the presences and semiquantitative distribution of all major endocrine cells types in the pancreas of Sunda porcupine, H. javanica which is endemic to Indonesia, were detected by employing the avidin-biotin-peroxidase complex (ABC) method.The recent studies on pancreas of porcupine have been conducted in crested porcupine .H. javanica, about 67 cm in length, were purchased from an extreme food merchant in Tawangmangu, Central java, Indonesia, were used as samples. Pancreatic tissues of H. javanica were fixed for 24 h in Bouin\u2019s solution, dehydrate in ethanol, cleared in xylene, and embedded in paraffin.Five pancreatic tissues of adult Sunda porcupines, 2O2 in methanol for 15 min. Primary antibodies , few (+), moderate (++), and numerous (+++).The presences of positif endocrine cell types were observed in 3 parts of the pancreas, (1) the islets of Langerhans, (2) the exocrine acini, and (3) the pancreatic duct. In addition, the presence and semiquantitatif number of endocrine cells types in the islets of Langerhans were distinguished into three locations: Central, mantle, and peripheral areas. The presence and semiquantitative number of endocrine cells types in the pancreatic duct were distinguished into two locations: inter-epithelial and sub-epithelial cells.H. javanica. Four types endocrine cells were detected in various pancreatic parts and areas with different semiquantitatif numbers as shown in Tables-H. javanica, was fusiform, round, and oval.The research clarified the presence of four types pancreatic endocrine cells including insulin, glucagon, somatostatin, and PP in the islets of Langerhans, exocrine acini and pancreatic duct of H. javanica contain fusiform and round form insulin cells which located in the central and mantle areas with a numerous and moderate numbers, respectively, but not in the peripheral area , has clarified base on the results of this research. They are insulin, glucagon, somatostatin, and PP of the endocrine cells types. The semiquantitatif number of endocrine cell types was grouped according to the pancreatic parts and the area of pancreatic islets . Specific spreading of endocrine cell types in the pancreatic tissues was also emphasized with references to other already known species.The presence of four main types of endocrine cells in the pancreas of the most exotic Indonesian endemic porcupine, the Sunda porcupine could exactly be distinguished from each other using immunohistochemical techniques . Previoue region . The preH. javanica, mainly in the peripheral area of the islets.PP cell is the other type of endocrine cell that can be found in the pancreas. It has been known that the location differentiation of PP cells in the pancreas can easily be recognized among species, although the cells, if they occur, were always located in the peripheral area of the islets of Langerhans. PP cells were demonstrated in the peripheral area of the pancreatic islets of the hamster , rat 1717, mouseH. javanica pancreas, insulin, glucagon, and somatostatin cells were found individually, whereas PP cells were detected in a form of cluster cells located between acini. Moreover, glucagon and somatostatin cells were detected in the inter-epithelial cells and sub-epithelial cells of pancreatic ducts, respectively. Unfortunately, the report of Timurkan et al. [H. cristata did not mention about this features. The present result, however, the first evidence on the individual form of insulin, glucagon and somatostatin cells, and cluster cells feature of PP cells in the exocrine parts of porcupines species.In the exocrine part of n et al. on pancrH. javanica, glucagon cells were found in inter-epithelial cells, and somatostatin cells were detected in sub-epithelial cells. The endocrine parts of H. javanica pancreas contain of those four types endocrine cells with variation on the form, location, and number of the cells depend on the area of the islets of Langerhans but in common is approximately similar to that of other rodents. The research elucidated the exception on the specific location of glucagon cells in the peripheral area in islets of Langerhans of H. javanica which differ from others mammals.The present research clarified the presence of four major endocrine cells, namely, insulin, glucagon, somatostatin, and PP cells in the islets of Langerhans and inter-acinar cells of the exocrine part. In pancreatic duct of TB prepared proposal and managed the research implementation. TB, YHF and GTM carried out the sample collections and laboratory works for histology and immunohistochemistry. TB critically analyzed the histological and immunohistochemical data and prepared the manuscript. All authors read and approved the final manuscript."}
+{"text": "The prevalence of allergies has vastly increased over recent decades due to air pollution and climate change. The present study aims to identify any seasonal variations in the allergens, to help prevent and treat allergic diseases; and investigate any correlations between the reported allergens and other biotic parameters, namely age and sex. The study included 67 subjects who visit the Department of Pneumology and Oto-rhino-laryngology of the Regional Hospital of Gafsa, between August 2007 and September 2008. The allergic condition of these patients was confirmed by measuring allergen specific IgE levels using the multiple allergen simultaneous test-chemoluminescent assay (MAST-CLA). A total of 30 allergens were tested and classified into seven groups: tree and grass pollen, herbaceous pollen, animal dander, moulds, latex, cockroaches and mites.The seasonal distribution of allergens shows that the frequency of respiratory allergy was mainly observed during spring corresponding to the pollination season. However, the detection of some seasonal allergens, such as olive pollen, outside the pollination season can be explained by the cross-reactivity between allergens. The age range of patients with sensitivity was found to be between 10 and 73 years, with the most sensitive patients aged between 20 and 50 years. The sex variable was significantly associated with the studied allergens since sensitization was present more frequently in women than in men."}
+{"text": "Eosinophilic chronic rhinosinusitis (ECRS) is considered a refractory and intractable disease. Patients with ECRS present with thick mucus production, long-term nasal congestion, loss of sense of smell, and intermittent acute exacerbations secondary to bacterial infections. Despite medical and surgical interventions, there is a high rate of recurrence with significant impairment to quality of life. The recent increasing prevalence of ECRS in south Asian countries and the strong tendency of ECRS to reoccur after surgery should be considered. The majority of cases need repeat surgery, and histological examinations of these cases show eosinophilic-dominant inflammation. The degradation and accumulation of eosinophils, release of cytokines, and mucus secretion have important roles in the pathogenesis of ECRS. ECRS differs from non-ECRS, in which eosinophils are not involved in the pathogenesis of the disease, and also in terms of many clinical characteristics, blood examination and nasal polyp histological findings, clinical features of the disease after surgery, efficacy of medications, and computed tomography findings. This review describes the clinical course, diagnosis, and treatment of ECRS as well as its pathophysiology and the role of eosinophils, mucus, cytokines, and other mediators in the pathogenesis of ECRS. Eosinophilic chronic rhinosinusitis (ECRS) is an inflammatory pathological condition of the nose and paranasal sinuses . PatientMultiple cytokines are involved in the pathogenesis of ECRS. Elevated levels of circulatory eosinophils and tissue eosinophils are prominent features of ECRS. Cytokines are essential for hematopoietic cell development, differentiation, and maturation. Interleukin (IL)-3, IL-5, and granulocyte/macrophage-colony stimulating factor (GM-CSF) are cytokines that are particularly important in regulating eosinophil development . MyeloidEosinophils also function as antigen-presenting cells and they can process and present a variety of microbial, viral, and parasitic antigens . In addiConversely, cytokines that have antagonistic effects, especially on Th2 inflammation, such as IFN-\u03b3 and transforming growth factor (TGF)-\u03b2, are down-regulated in ECRSwNP . The comA number of studies demonstrated that there is an association between peripheral eosinophilia and a high percentage of eosinophil infiltration in paranasal sinuses . EosinopA better understanding of the clinical features and specific characteristics of CT images will facilitate the diagnosis of ECRS. Researchers have found a direct association between the severity of paranasal cavity CT findings and an increase in the circulatory eosinophil count . Thus, aPatients with ECRS exhibit clinical characteristics that include long term nasal congestion, mucus production, olfactory disturbances, bilateral nasal polyposis, and intermittent acute exacerbation of secondary bacterial infections . A combiSince there is no approved medication to treat patients with ECRSwNP completely, surgery is often needed to clear the sinonasal passage, and repeated endoscopic sinus surgery (ESS) is often required . In caseMoreover, the presence of mucosal eosinophilia (>10 eosinophils/high-power field) at the time of ESS consistently predicts less improvement in both disease-specific measures and general quality of life compared to the absence of eosinophilia . AdditioThe effectiveness of low-dose, long-term erythromycin treatment (macrolide therapy) was reported for the treatment of CRS in Japan , 73, 74.As mentioned before, the treatment strategies for ECRS differ from those for non-ECRS; a diagnostic criterion for ECRS is thought to be very useful to decide a treatment strategy in an outpatient setting . If sinuSystemic deregulation of eosinophils is thought to be involved in the pathogenesis of ECRS . Once thAlthough, CRSwNP is characterized histologically by an abundance of eosinophilic inflammatory changes, the levels of leukotriene C4 in patients with recurrent sinonasal polyps after surgery are significantly higher than in healthy controls, and higher leukotriene C4 levels can be an indicator of the risk of recurrence of nasal polyps . Recent In European and UnitAlessandri et al. showed that AT7519, a novel cyclin-dependent kinase inhibitor, causes apoptosis in human and mouse model eosinophils, indicating that such inhibitors can have a therapeutic role in eosinophil-dominant allergic disorder treatment . A newlyECRS is an intractable and persistent disease of the nose and paranasal sinuses. Eosinophilic degradation and accumulation, the release of cytokines and chemokines, and mucus production have an important role in the pathogenesis of this disease. The clinical features reflect the complicated condition of ECRS that seems to be resistant to the current available medical therapies and has a high rate of recurrence after surgery. Further studies are needed particularly focusing on the function of cytokines, chemokines, and eosinophils and the production of eosinophils to achieve a precise treatment, prevention, and the required outcomes."}
+{"text": "Budgetary constraints - with annual growth rates that peaked at 20% - fuelled by the upcoming economic crisis demanded a change in the pricing model for pharmaceuticals in the Republic of Macedonia. Several neighbouring countries were faced with similar challenges, so the Republic of Macedonia carefully looked into their policies and thus introduced external reference pricing in 2011, which led to a reduction of prices. The specific was that both the Ministry of Health for the \"unique price\" (i.e. the maximum price) and the Health Insurance Fund as a basis for reimbursement performed price comparisons. The country basket for the Ministry of Health includes Bulgaria, Croatia, France, Germany, Greece, the Netherlands, Poland, Russia, Serbia, Slovenia, Turkey and the UK whereas the HIF references Bulgaria, Croatia, Serbia and Slovenia.To show the trend of price reductions achieved for selected pharmaceuticals in the Republic of Macedonia as compared with the non-basket countries Hungary, Czech Republic and Austria.Policies targeted: Analysis of the effects of external price referencing in different countries.Stakeholders: Pricing and reimbursement authorities of the analysed countries.Region covered: International comparison focussing on Central and Eastern Europe countries.Ex-post cross-country evaluation of pricing trends between 2009 and 2014 for selected out-patient medicines that are reimbursed by the Macedonian HIF using the national Macedonian price database and the European Integrated Price Database EURIPID.The prices of the selected medicines were reduced in all analysed countries but the extents of tje decreases were different. It was also notable that some of the initially selected medicines (based on the Macedonian reimbursement list) were not marketed or reimbursed in the countries of comparison.The analysis showed that a more regular exchange of information and pricing policies could generate higher savings for national pricing and reimbursement authorities as the price development of similar products was quite diverse."}
+{"text": "Obesity, insulin resistance, and type 2 diabetes are associated with a substantially increased prevalence of vascular fibrosis and stiffness, with attendant increased risk of cardiovascular and chronic kidney disease. Although the underlying mechanisms and mediators of vascular stiffness are not well understood, accumulating evidence supports the role of metabolic and immune dysregulation related to increased adiposity, activation of the renin angiotensin aldosterone system, reduced bioavailable nitric oxide, increased vascular extracellular matrix (ECM) and ECM remodeling in the pathogenesis of vascular stiffness. This review will give a brief overview of the relationship between obesity, insulin resistance and increased vascular stiffness to provide a contemporary understanding of the proposed underlying mechanisms and potential therapeutic strategies. Vascular stiffness is a consequence of pathophysiological alterations involving endothelial cells (ECs), vascular smooth muscle cells (VSMCs), extracellular matrix (ECM), and other functional elements of the vessel wall analysis of pulse transit time; (2) wave contour of the arterial pulse; and (3) direct measurement of arterial geometry and pressure that corresponds to regional, systemic, and local determination of stiffness and sympathetic nervous (SNS) systems are all components of the cardiorenal metabolic syndrome, which is associated with vascular stiffness Sowers, . DysreguExcess adipose tissue, in particular abdominal adipose tissue, has been closely linked to the development of vascular stiffness and cardiovascular disease , and vasoconstrictor substances, such as angiotensin II (Ang II), and thromboxane A2 has a vasodilatory effect and anti-atherogenic properties, including inhibition of VSMC proliferation and migration, platelet activation and adhesion and leukocyte adhesion and migration and connective tissue growth factor (CTGF) are well-known profibrotic factors that can stimulate synthesis of ECM proteins, such as fibronectin and collagens, under conditions of obesity, insulin resistance, and T2D expression on the EC surface leading to reduced NO production that is associated with increases in cortical stiffness of the cytoskeleton oxidase activity and reduction of NO bioavailability, thereby promoting oxidative stress and vascular dysfunction can protect the vascular cells by immunosuppression, cell contact\u2013dependent suppression, and functional modification or killing of activated protein C (He et al., Vascular stiffness is associated with chronic inflammatory disease in the vessel wall characterized by an activation of both the innate and adaptive immune systems, which are composed of diverse cellular components, including granulocytes, mast cells, monocytes, macrophages, and natural killer cells (Aroor et al., Non-diabetic premenopausal women exhibit lower incidence of cardiovascular complications compared to age matched men. However, this protection is lost under the setting of obesity and T2D (Manrique et al., Although the mechanisms that contribute to vascular stiffness in obese premenopausal women are poorly understood, upregulation of RAAS signaling may be important in this regard (Aroor et al., Vascular stiffness is increased in conditions of insulin resistance and obesity and independently increases the risk of developing hypertension, coronary heart disease, and CVD morbidity and mortality. The underlying pathophysiology of vascular stiffness in insulin resistance and obesity involves activation of RAAS, adipocyte inflammation, abnormalities in vascular cells, ECM and maladaptive immune responses, all of which increase the risk of vascular stiffness associated CVD events Figure . Future The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Neglected tropical diseases (NTDs) affect more than 1,000,000,000 poor and marginalized people worldwide [An important element of targeted NTD intervention is the delivery of mass drug administration (MDA) for treating the five major \u201cpreventive chemotherapy\u201d NTDs, including lymphatic filariasis (LF), onchocerciasis, schistosomiasis, soil-transmitted helminths (STH), and trachoma . MDAs taInnovation to Application article, we describe the creation of an innovative NTD mapping tool (www.ntdmap.org) developed by a consortium of research and program partners for use particularly by program implementers. Its functionality and accessibility have been designed specifically to meet the needs of national programs and international partners. This tool provides an online resource allowing users to visualize and manipulate geographical data on a range of variables for the planning and managing of integrated NTD programs.In this Sharing data is challenging not only because of the complexity of the data themselves but also from the sheer volume of information. In an effort to meet these challenges, the NTD community has developed a range of resources that display epidemiological and treatment data in the form of maps . Data arWhile these disease-specific mapping projects are extremely helpful for visualizing predefined projects, they are of limited usefulness for integrated program planning, primarily because of the inability to customize maps through overlaying multiple variables highlighting cross-disease opportunities. These resources are also time-consuming to maintain, with data needing to be managed manually for each tool. In the rapidly changing NTD environment, the utility of maps erodes quickly with time. To become a useful operational resource, maps must be routinely updated. For NTDs, this need has been addressed in the development of an NTD mapping tool capable of integrating available epidemiological and programmatic NTD data into a single resource, which is both dynamic and easy to use.http://www.thiswormyworld.org/about/gahi-reports). Each platform was reviewed for content, quality, and functionalities offered. Results show that the main functionalities included were (i) ability to add different map layers, (ii) query the data underpinning each map, (iii) zoom and pan in the maps, and (iv) print and save maps.A first step in developing the tool was a stocktaking exercise of existing mapping platforms and an end-user survey to assess the needs of the tool\u2019s intended audiences. The exercise included a \u201cstate-of-the-art\u201d review of existing mapping applications, undertaken by independent consultants, Avia-GIS , provided high-level software expertise. The technical development of the tool included linking Structured Query Language (SQL) databases from multiple partners such as the Global Atlas of Helminth Infections (GAHI) [Finally, a series of meetings were held among partners in March, 2013. These meetings established the minimum criteria for the NTD mapping tool . To assis (GAHI) , Global s (GAHI) , Internas (GAHI) . These dhttp://www.thiswormyworld.org/training/modern-tools-for-ntd-control-programmes). Feedback received included the ability to adjust the order of layers, inclusion of administrative boundary layer, ability to query the source of data, and the ability to change the colors of layers. A second version of the tool was then released to selected partners on September 1, 2013 for additional feedback. The process of requesting feedback from both field managers and partner organizations ensured the usefulness of the tool to the broader NTD community. The completed tool was launched at the NTD Non-Governmental Development Organization (NGDO) Network (NNN) meeting in Brighton, United Kingdom, on September 19, 2013.A beta-version of the tool was piloted at an NTD training course in Nairobi in May 2013 for the different NTDs at the subnational level, whereas WHO typically reports coverage at the national level. Better understanding of the relationship between these two sources would be useful for filling knowledge gaps on treatment coverage. Third, the NTD Mapping Tool includes data on STH, schistosomiasis, and trachoma, as well as health district maps of access to improved water and sanitation. It is envisioned that in the future, data on LF and onchwww.thiswormyworld.org). Readers interested in the details of these data can consult this resource and contact this project.A second phase of development on this tool is underway. In the upcoming release, the technical features will be enhanced. This release will include an offline component where users with limited internet access can build their own maps. Users will also have the ability to input their own data into the offline maps, allowing the visualization of private data in the context of the publicly available data included in the tool. Future work will additionally investigate how best to make the data included in the tool available for download; at present, data on STH, schistosomiasis, LF, and Water Sanitation and Hygiene (WASH) can be downloaded from the Global Atlas of Helminth Infection (In conclusion, the NTD Mapping Tool provides an important new tool for the planning, implementation and evaluation of NTD control activities. The tool is simple and intuitive to use, with minimal requirements placed on the users. The development of the tool has brought together partners working on different NTDs and has involved extensive consultation with the global NTD community. Future roll-out of the tool will identify further needs which will guide subsequent revision. The experience of developing the NTD Mapping Tool provides a powerful example of how integrating data, expertise, and resources can provide new resources and tools to help improve decision making in, and implementation of, integrated health programs."}
+{"text": "In 2008, the Global Health Research Initiative (GHRI) invited applications from teams of researchers and decision-makers who were interested in conducting research related to human resources for health and the implementation and use of integrated health information systems in Africa, with special attention to equity considerations. These thematic areas constituted the focus of the Africa Health Systems Initiative - Support to African Research Partnerships (AHSI-RES) program. GHRI is a partnership of three Canadian agencies: Foreign Affairs, Trade and Development Canada (DFATD), International Development Research Centre (IDRC), and the Canadian Institutes of Health Research (CIHR). It is hosted at IDRC.AHSI-RES is a five year, $5.9 million CDN research program (2008-2014) supported by Foreign Affairs, Trade and Development Canada ($5 million) and the International Development Research Centre ($900 000). AHSI-RES is the research component of the larger Africa Health Systems Initiative (AHSI) program. The AHSI program is a 10 year, $450 million CDN commitment (2006-2016) to strengthening national-level health strategies and architecture, and is being implemented by Foreign Affairs, Trade and Development Canada.The AHSI-RES program\u2019s purpose is to support policy relevant research, knowledge translation and exchange in the program\u2019s thematic areas. The AHSI-RES program emphasized the importance of ongoing interaction, collaboration, and exchange of ideas between researchers and decision-makers to maximize the likelihood that research findings would be used to inform programs and policies. A decision-maker was defined as \u2018an individual who makes decisions about, or influences, health policies or practices.\u2019IDRC program officers engage with grantees in framing research problems, improving research designs, and choosing methodologies. IDRC staff and funded researchers work as peers to contribute new ideas and theories, influence practice and policy, and strengthen research networks, bringing together grantees to share research results . This isTeams had to include one African researcher and one African decision-maker, both as co-principal applicants. The co-principal applicants had to be affiliated with an institution located in one of the AHSI-RES geographic areas of focus. Geographic areas of focus included: Francophone West Africa ; Great Lakes and Eastern Africa ; and, Southern Africa . Researchers and decision-makers affiliated with a non-African institution were eligible as co-applicants or collaborators, additional to the African co-principal applicants.Ten teams were selected from 57 proposals following a rigorous merit review process, where the review panel included international researchers and African decision-makers. Research teams that were successful in getting funding had to demonstrate: the ability to engage in interdisciplinary applied research to address complex policy-relevant questions related to the key themes of AHSI-RES; and, the ability to link research, policy, and action to improve health decision-making and programming. Gender, ethics, capacity development, and knowledge translation and exchange were cross-cutting themes that featured in AHSI-RES programming.Human Resources for Health. This supplement focuses on lessons learned from the uptake and impact of research for evidence-based practice.Research teams were based in: Burkina Faso, Mali, Kenya, Tanzania, Uganda, Malawi, and Zambia, and some involved Canadian researchers. Their research focused on two main areas: 1) the recruitment and retention of health workers and the shifting of certain services to less specialized health workers in response to a severe human resources crisis in the health sector in sub-Saharan Africa; and 2) the role of health information in ensuring greater equity in access to health care. The results of AHSI-RES research on the recruitment and retention of health workers is presented in a supplement to Health systems research can enrich the evidence base needed to inform the development and implementation of equity-oriented policies and interventions. The expected outcomes for AHSI-RES include: (i) improved and timely uptake of research evidence for health systems strengthening among decision makers in low- and middle-income countries; (ii) improved knowledge base for health systems strengthening that addresses the needs of vulnerable populations, focusing on priority global health issues in low- and middle-income countries; and (iii) strengthened individual and institutional capacity for doing and using research on health systems strengthening in low- and middle-income countries.. The research ranges from investigation into government policies to retain health workers in underserved areas, to the implementation and validation of health information systems in peri-urban and rural areas.The articles in this supplement present research results from Kenya, Malawi, Mali, Uganda, Tanzania, and ZambiaFindings from these research teams capture the complexity of challenges faced by decision-makers, health system managers, and health human resources in establishing, maintaining, and sustaining effective and functional health systems. The research serves to test, validate, and challenge policies at national and regional levels. Some of the policies and strategies incorporated in this supplement\u2019s research include, amongst others: Kenya\u2019s Community Health Strategy, Uganda\u2019s integrated Community Case Management (iCCM) strategy, as well as the World Health Organization and International Agency for Prevention of Blindness\u2019s program strategy for \u201cVISION 2020: The Right to Sight,\u201d a global initiative to eliminate avoidable blindness.For example, as described in the articles, the policy-relevant results and lessons learned include:\u2022 the Kenya Community Health Strategy is an effective approach to delivering community-based interventions: it can be successfully implemented and sustained in different socio-demographic contexts, with participatory community planning, based on household information, driving the improvement of health indicators. There were significant changes in essential maternal and newborn care practices such as antenatal care attendance and skilled deliveries because household members had been provided with the necessary information to make healthy decisions to be able to respond to maternal and neonatal health needs, based on evidence provided by the community based health information system .\u2022 a better understanding of the quality of eye care at primary health care facilities and influencing factors (e.g. staff turnover and absenteeism) in Kenya, Malawi and Tanzania, are urgently needed before continuing to invest resources in the scale up of the model of task shifting in Africa as it relates to VISION 2020: The Right to Sight, a global initiative to eliminate avoidable blindness. This study demonstrated the negative impact of the high turnover of primary health care workers and absenteeism in providing health services at the community level. This turnover and absenteeism also affects the integrity of research on interventions designed to improve health services .\u2022 in Uganda, specific iCCM training and support to a selected segment of community health workers (CHWs) within larger CHW village teams unexpectedly and negatively impacts \u2018basic\u2019 CHWs\u2019 work motivation, but not necessarily team functioning. The Ugandan Ministry of Health\u2019s national strategy calls for the employment of volunteer CHWs for the implementation of iCCM of common illnesses affecting children under five years of age. The researchers recommend that CHW programmers should consider minimizing segregation when introducing new program opportunities through providing equal opportunities to participate and receive incentives, while seeking means to improve communication, CHW solidarity, and motivation .The 10 teams supported by the AHSI-RES program worked to connect research with policy and action to improve health decision-making and programming in the sub-Saharan region, paying particular attention to the needs of disadvantaged segments of the population. Grantees benefited from opportunities to strengthen individual and institutional capacity for doing and using research on health systems strengthening. Research teams also benefitted from linking with African decision-makers to make the research collaborative and responsive, enhancing the likelihood of research uptake to inform current and future policies.Adrijana Corluka and Ren\u00e9e Larocque serve as Senior Program Officers, Marc Cohen serves as Program Officer, and Esm\u00e9 Lanktree serves as Program Management Officer, with the Global Health Research Initiative. The Global Health Research Initiative supported the assembly and publication of this supplement. The views expressed in this introductory article are those of the authors alone and do not represent the views of the Global Health Research Initiative, the International Development Centre, the Canadian Institutes of Health Research, nor Foreign Affairs, Trade and Development Canada."}
+{"text": "Tobacco use in India is characterized by a high prevalence of smoking and smokeless tobacco use, with dual use also contributing a noticeable proportion. In the context of such a high burden of tobacco use, this study examines the regional variations, and socioeconomic, demographic and other correlates of smoking, smokeless tobacco and dual use of tobacco in India.We analyzed a cross sectional, nationally representative sample of individuals from the Global Adult Tobacco Survey in India (2009\u201310), which covered 69,296 individuals aged 15 years and above. The current tobacco use in three forms, namely, smoking only, smokeless tobacco use only, and both smoking and smokeless tobacco use were considered as outcomes in this study. Descriptive statistics, cross tabulations and multinomial logistic regression analysis were adopted as analytical tools. Smokeless tobacco use was the major form of tobacco use in India followed by smoking and dual tobacco use. Tobacco use was higher among males, the less educated, the poor, and the rural population in India. Respondents lacking knowledge of health hazards of tobacco had higher prevalence of tobacco use in each form. The prevalence of different forms of tobacco use varies significantly by states. The prevalence of tobacco use increases concomitantly with age among females. Middle-aged adult males had higher prevalence of tobacco use. Age, education and region were found to be significant determinants of all forms of tobacco use. Adults from the poor household had significantly higher risk of consuming smokeless tobacco. Lack of awareness about the selected hazards of tobacco significantly affects tobacco use.There is an urgent need to curb the use of tobacco among the sub-groups of population with higher prevalence. Tobacco control policies in India should adopt a targeted, population-based approach to control and reduce tobacco consumption in the country. Smokeless tobacco use consists of chewing pan , chewing gutkha or pan masala , and mishri (a kind of toothpaste used for rubbing on gums). India has one of the highest tobacco users in the world both in number and relative share. India is one of the fewer countries in the world where prevalence of smoking and smokeless tobacco use are high and is characterised by dual use of tobacco (use of both smoking and smokeless tobacco products) also contributes to a noticeable proportion. Using data from the National Family Health Survey second round , prevalence of tobacco use in India was estimated to be 37 percent among the population of 15 years and above Tobacco is used in India in many forms. Smoking of cigarettes and nd round of the NSS on Morbidity and Private Health Expenditure, conducted between June 1995 and June 1996 by the National Sample Survey Organization (NSSO) of the Government of India, collected information on current regular smoking and chewing of tobacco for all individuals aged 10 years and above. The survey estimated tobacco use prevalence among males to be at 51.3% and among females at 10.3% Establishment of effective tobacco control policies depends on precisely assessing the enormity of tobacco use in the country. Several national level studies have collected information on tobacco use to evaluate the prevalence of tobacco use. Tobacco use is a part of the consumer behaviour component of the National Sample Survey (NSS), held every five years All these studies were mostly limited to collecting some data on tobacco use as a component of health-based surveys. However, there was a lack of a large scale survey with comprehensive data on tobacco use among adults in India. Most of the past research work on tobacco was either based on localized studies with an urban bias or based on non-representative sample surveys with socio-demographic predictors of tobacco related behaviour mostly inadequately understood. These works were frequently limited to specific focus group in terms of their tobacco habit.The recent two rounds of the Global Youth Tobacco Survey were specially designed to collect tobacco related information, although for a very specific age group. The Global Adult Tobacco Survey (GATS) is a standardized household survey that enables countries to compile data on key tobacco indicators and assist states in the formulation, tracking and execution of effective tobacco control interventions and international comparisons as laid out in the MPOWER policy package of the WHO This study is based on the secondary analysis of the Global Adult Tobacco Survey India (GATS-India) 2009\u201310 data. This survey data was released for the general researchers by International Institute for Population Sciences. Global Adult Tobacco Survey is the global standard for systematically monitoring adult tobacco use (smoking and smokeless) and tracking key tobacco control indicators. GATS-India is conducted globally in around 14 countries. The Centers for Disease Control and Prevention (CDC), CDC Foundation, Johns Hopkins Bloomberg School of Public Health (JHSPH), Research Triangle Institute International , the World Health Organization and many countries throughout the world worked together to design and implement GATS. For each participating country, a standard protocol with respect to questionnaire, sample design, data collection and management procedures was used. Survey information was collected using handheld devices. The Ministry of Health and Family Welfare, Government of India, designated the International Institute for Population Sciences, as the nodal agency for conducting GATS Survey in India. The main objectives of the GATS India Survey were to measure the impact of tobacco control efforts through implementation of different provisions of COTPA 2003 and its regulations and to systematically monitor adult tobacco use and track key tobacco control indicators. Further information regarding the guidelines followed to collect the data is available in the GATS-India report GATS-India (2009\u201310) is a nationally representative household survey covering population aged 15 years and above, covering all the 29 states and 2 Union Territories (UTs) in India. Multistage sampling procedure was adopted independently in each state, and within the states, independently in urban and rural areas to select the sample. In the urban areas, three-stage sampling was adopted for the selection of households. At the first stage, a list of wards from all cities and towns of the state/UT formed the urban sampling frame from which a required sample of wards, i.e., primary sampling units (PSUs), was selected using probability proportional to size (PPS) sampling. At the second stage, a list of census enumeration blocks (CEBs) in every selected ward formed the sampling frame from which one CEB was selected by PPS from each selected ward. At the third stage, a list of all the residential households in each selected CEB formed the sampling frame from which a sample of the required number of households was selected. In the rural areas, two-stage sampling was adopted for the selection of households. The PSUs were villages selected using the PPS sampling method. At the second stage, a list of all the residential households in each selected village formed the sampling frame from which a sample of the required number of households was selected. From each eligible household, one respondent was selected.beedis, cigarettes, cigars, cheroots, rolled cigarettes, tobacco rolled in maize leaf and newspaper, hookah, pipes, chillum, and chutta. Smokeless tobacco included tobacco leaf, betel quid with tobacco, sada/surti, khaini or tobacco lime mixture, gutkha, pan masala with zarda, gul, gudaku, and mishri. Final sample included in the analysis were all the 69,296 respondents Complete data is available for 69,296 adult respondents age 15 and above, of which 33,767 and 35,529 were males and females respectively. The survey covered domains like tobacco use (smoking and smokeless tobacco), exposure to second hand smoke, cessation, economics of tobacco, exposure to media messages on tobacco use, and knowledge, attitudes and perceptions towards tobacco use. The survey was designed to provide estimates of the tobacco prevalence at the national and the state levels, and by certain specific background characteristics. Data for tobacco use was collected from the eligible respondents aged 15 years and above. The respondents were asked about their daily and occasional use of tobacco. Smoking tobacco included The main dependant variable in the analysis is the tobacco use categorized into four types, namely, smoking only, smokeless tobacco use only, dual use of tobacco (both smoking and smokeless tobacco use) and non-user of tobacco.The state level variations in type of tobacco use were assessed for the 29 states and 2 UTs of India. The relationship of age with use of tobacco in three forms was assessed by classifying age into age groups of five years. For the further analysis, independent variables used were age (four categories), sex , residence , education (four categories), occupation (four categories), region (six categories), knowledge that exposure to smoking causes heart attack, stroke and lung cancer (Yes/No), smokeless tobacco causes serious illness (Yes/No), and household asset scores (three categories). Six geographical regions, covering 29 states and 2 UTs, were included in the analysis. Included in the North were the states of Jammu & Kashmir, Himachal Pradesh, Punjab, Chandigarh, Uttarakhand, Haryana and Delhi; in the Central region, Rajasthan, Uttar Pradesh, Chhattisgarh and Madhya Pradesh were included; the East included West Bengal, Jharkhand, Odisha and Bihar; the North-east included Sikkim, Arunachal Pradesh, Nagaland, Manipur, Mizoram, Tripura, Meghalaya and Assam; in the West were included Gujarat, Maharashtra and Goa; and finally Andhra Pradesh, Karnataka, Kerala, Tamil Nadu and Puducherry were included in the South region. The household economic status was assessed using the household assets information provided. Since the information of assets was quite limited in nature, the scores of 10 household assets were summed up to give a final score between 0 and 10. These scores were divided into three parts based on their distribution, and households were categorised as poor, moderate and rich.The prevalence of tobacco use for each type namely, smoking only, smokeless tobacco use only, and dual use of tobacco (both smoking and smokeless tobacco use) is defined as the number of persons consuming tobacco in this manner per 100 adult persons 15 years and above. Bivariate analysis was used to estimate the prevalence of tobacco use in three forms by background characteristics. The state level variations in type of tobacco use were assessed by simple bivariate analysis in 29 states and 2 UTs of India. The relationship of age with use of tobacco was assessed by classifying age into age groups of five years. Further prevalence of tobacco use was analysed according to the background characteristics described in the earlier section. Both point estimates and robust 95% confidence intervals were given based on robust standard errors adjusting for strata and clustering at PSU. Multinomial logistic regression is used to estimate and assess the adjusted associations respectively of different socioeconomic, demographic and knowledge related characteristics. Multinomial logistic regression analysis was used to analyze the four outcomes-smoking only, smokeless tobacco use only, dual use of tobacco and non user in a single model. In multinomial regression each outcome is modelled relative to baseline outcome group: non-user of tobacco (in this study). Therefore, relative risk ratios (RRR) are reported rather than risk ratio or odds ratio. The RRR and their 95% confidence intervals were provided in the tables. Models are used after applying the sampling weights and adjusting for multistage sampling designs using svy command in STATA. STATA 11.0 was used to carry out the statistical analysis.GATS-India data provides an ample opportunity to study the tobacco use behaviour in the form of smoking, smokeless tobacco and dual use of tobacco among adults in India. Understanding the type of tobacco use behaviour has important health implications. The estimates of the tobacco use provided by GATS are considered to be reliable and representative enough as the survey was designed to provide only tobacco use indicators in India. The other studies suffer from the most important limitation that they were not designed to collect information on tobacco use. Surrogate responses were used which often produced bias and inaccuracies in the results Tobacco consumption among females was mostly in the form of smokeless tobacco, while that among males was distributed among the three types of uses. Tobacco use in India has been higher among males than among females in India. However, the male-female gap was lower in the case of use of smokeless tobacco. The use of smokeless tobacco was equally high among middle-aged and elderly males and females. This indicates that adult females in India were as vulnerable as males, and at a high risk of using smokeless tobacco, especially in the higher age groups. With an increase in age, the odds of using tobacco significantly increase in India. Elderly and middle-aged females had significantly higher odds of consuming every type of tobacco. Smoking and dual use of tobacco among males were more common in the younger and middle-aged adults. Age has been found to be an important determinant of tobacco use in earlier studies Tobacco use in India varies significantly by states and regions. A comparison of state-wise figures for smoking and smokeless tobacco use among adults aged 15 years and above, provided by another research study for India, beedis per day. Such figures were much higher for the uneducated and the male population Tobacco use in India is clearly a big burden in terms of its magnitude and use in different forms. There is also a need to check the dual use of tobacco in India. Dual users are at much higher health risks than those who consume the individual tobacco product. The higher prevalence of tobacco use among males, the uneducated and the poor is a matter of concern as these people even lack resources to combat the morbidity associated with tobacco use. At a time when India is experiencing a major mortality and epidemiological transition, these subgroups are likely to suffer more from the dual burden of communicable and non-communicable diseases. In addition to the differences in the prevalence of tobacco consumption between disadvantaged and better off groups, the type and amount of tobacco consumption, and its dependency may also vary between these groups, further aggravating the differences in the disease burden attributable to tobacco. GATS report shows that more than 60 percent tobacco users consume first tobacco of the day within half an hour of waking up. An ample proportion of daily smoker consumes more than 10 cigarettes or"}
+{"text": "Journal of Hematology & Oncology is pleased to see the exponential growth in the number of publications from China, especially in hematology and oncology. This editorial calls for putting more weight on the quality of the future scientific output and invites rigorous dialogs among policy makers, granting agencies, academic leaders, physicians, and scientists, followed by concrete actions, to achieve such a goal. The number of scientific publications from China has exploded in the past 10 years. Multiple factors have propelled this exponential growth. Among these factors include but are not limited to a large scientific research base, increases in government funding through Natural Science Foundation of China, acute upholding of the publish-or-perish mantra, monetary reward for publications from local institutions, institutional requirement for publications in quality journals for awarding doctoral degrees, and faculty promotions. Dr. An-mei Deng\u2019s group from Shanghai performed a detailed and focused analysis of hematology research output from China in the past 10 years [China has succeeded in quantitative promotion of scientific research . The nex"}
+{"text": "The development of multidrug resistance (MDR) in an increasing number of pathogens, including Pseudomonas, Acinetobacter, Klebsiella, Salmonella, Burkholderia, and other Gram-negative bacteria is a serious issue. Membrane efflux pump complexes of the Resistance-Nodulation-Division (RND) superfamily play a key role in the development of MDR in these bacteria. These pumps, together with other transporters, contribute to intrinsic and acquired resistance of bacteria toward most, if not all, of the compounds available in our antimicrobial arsenal. Given the enormous drug polyspecificity of MDR efflux pumps, studies on their mechanism of action are extremely challenging, and this has negatively impacted both on the development of new antibiotics that are able to evade these efflux pumps and on the design of pump inhibitors. The collection of articles in this eBook, published as a Research Topic in Frontiers in Microbiology, section of Antimicrobials, Resistance, and Chemotherapy, aims to update the reader about the latest advances on the structure and function of RND efflux transporters, their roles in the overall multidrug resistance phenotype of Gram-negative pathogens, and on the strategies to inhibit their activities.The discovery of antibiotics represented a key milestone in the history of medicine. However, with the rise of these life-saving drugs came the awareness that bacteria deploy defense mechanisms to resist these antibiotics, and they are good at it. Today, we appear at a crossroads between discovery of new potent drugs and omni-resistant superbugs. Moreover, the misuse of antibiotics in different industries has increased the rate of resistance development by providing permanent selective pressure and, subsequently, enrichment of multidrug resistant pathogens. As a result, antimicrobial resistance has now become an urgent threat to public health worldwide focus on the outer membrane channel OprM of Pseudomonas aeruginosa, investigating the presence of N-terminal modifications. They present a new X-ray structure solved in a new space group, making it possible to model the N-terminal residue of OprM as a palmitoylated cysteine.RND transporters reside in the inner membrane, and in Gram-negative bacteria they form trans-envelope complexes together with periplasmic membrane fusion proteins (MFPs) and outer membrane factors (OMFs). As tripartite entities, these macromolecular complexes are powerful machines that expel multiple antibiotics across outer membranes. In recent years, much of the research efforts have been focused on the structures of the RND, MFP, and the OMF components. The assembly and disassembly of the tripartite efflux pump components is so crucial to their physiological role in resistance, that much research effort has been directed toward both the elucidation of the structures and functional dynamics of individual components and the Wang et al. use AcrAB-TolC of Escherichia coli as model to explore the mechanism of function recovery of the AcrBP223G variant, which compromises AcrB trimerization and drastically reduces the drug efflux activity. Their study highlights how modulation of several critical factors can lead to the proper functioning of the pump. Zgurskaya et al. further analyze how the reaction cycles of transporters are coupled to the assembly of the trans-envelope complexes. Using a combination of biochemical, genetic and biophysical approaches, the authors reconstruct the sequence of events leading to the assembly of transenvelope drug efflux complexes, and characterize the roles of periplasmic and outer membrane proteins in this process. In particular, they propose that OMF recruitment is triggered by binding of effectors (substrates) to MFP or MFP-RND complexes. Bavro and co-workers investigate in detail the architecture and roles of periplasmic adaptor proteins in tripartite efflux pump assemblies . They stress how recognition between the MFPs and OMFs is essential for pump assembly and function, and how targeting this interaction may provide a novel avenue for combating RND pump-mediated multidrug resistance. Picard and co-workers design a new test permitting investigation of the assembly of the MexAB-OprM efflux system of P. aeruginosa with only tens of microgram of protein . The method relies on the streptavidin-mediated pull-down of OprM proteoliposomes upon interaction with MexAB proteoliposomes containing biotinylated lipids. Their study gives clear evidence for the importance of MexA in promoting and stabilizing the assembly of the MexAB-OprM complex and the role of the proton motive force on the assembly and disassembly of the efflux pump.Several factors are critical for the proper function of the tripartite system: drug binding, interaction with MFPs and OMFs, proton relay through the transmembrane domain, and trimerization of the transporter. Regarding the latter process, in vitro work makes sense without an understanding of the occurrence, regulation, and interdependence of the efflux pumps in a physiological setting. Martins and co-workers summarize the current knowledge on RND efflux mechanisms in E. coli, a bacterium responsible for community and hospital-acquired infections, as well as foodborne outbreaks worldwide . They review the knowledge on Acriflavine (Acr), Multidrug Transport (Mdt), and Copper transporting (Cus) efflux systems. Chen and collaborators use clinical Salmonella typhimurium isolates to demonstrate how acquisition of the plasmid-mediated quinolone resistance (PMQR) genes oqxAB and aac(6\u2032)Ib-cr accelerates the development of fluoroquinolone resistance in this bacterium . Their analysis reveals that oqxAB and aac(6\u2032)Ib-cr are encoded on plasmids of various sizes and mediate resistance to ciprofloxacin, ultimately facilitating the selection of ciprofloxacin-resistant S. typhimurium. In their Perspective, Paulsen and collaborators summarize the current knowledge on the Acinetobacter chlorhexidine efflux (AceI) pump, a prototype for a novel family of multidrug efflux pumps conserved in many proteobacterial lineages . The discovery of this family raises the possibility that additional undiscovered intrinsic resistance proteins may be encoded in the core genomes of pathogenic bacteria.Little of the Morita and co-workers identify a novel MexS variant involved in up-regulation of the mexEF-oprN multidrug efflux operon in a clinical isolate of P. aeruginosa displaying multi-drug efflux-mediated resistance to fluoroquinolones, aminoglycosides, and most \u03b2-lactams. Their study constitutes the first genetic evidence that a MexS variant causes mexEF-oprN upregulation in P. aeruginosa clinical isolates. If the road toward understanding of efflux-mediated multi-drug resistance in E. coli, Acinetobacter baumannii and P. aeruginosa is rough, the characterization of efflux pumps in many other prominent pathogens, e.g., the members of the genus Burkholderia, lags even further behind. As in other non-enteric Gram-negatives, efflux pumps of the resistance nodulation cell division (RND) family are the clinically the most significant efflux systems in this genus. Schweizer and co-workers provide an excellent review of the current knowledge about efflux mechanisms in several Burkholderia species .Among the mechanisms that are not fully understood is the genetic regulation of efflux pumps. Venter et al. describe how available biochemical and structural information can be translated into the discovery and development of new compounds that could reverse antimicrobial resistance in Gram-negative pathogens. Opperman and Nguyen analyze in detail the reasons why no compounds have yet progressed into clinical use. One of the major hurdles in the development of EPIs has been the lack of biochemical, computational, and structural methods that could be used to guide rational drug design. The authors review recent reports that have advanced our understanding of the mechanisms of action of several potent EPIs active against RND-type pumps.Last but not least, inhibition of efflux pumps is one of the current strategies being pursued by several groups attempting to reduce the impact of efflux on antimicrobial resistance. Efflux pump inhibitors (EPIs) could be used as adjunctive therapies that would increase the potency of existing antibiotics and decrease the emergence of multidrug-resistant bacteria. In their review, In summary, the articles in this research topic serve as a background to the search for a deeper understanding of the mechanisms by which RND efflux pumps limit the concentration of antimicrobial compounds inside the bacterial cell. This knowledge may in turn pave the way for new, more directed inhibitor and antibiotic design to ultimately overcome antimicrobial resistance in Gram-negative pathogens.All authors listed, have made substantial, direct and intellectual contribution to the work, and approved it for publication.www.translocation.eu) and has received support from the Innovative Medicines Initiative Joint Undertaking under Grant 115525, resources that are composed of financial contributions from the European Union's Seventh Framework Programme (FP7/2007-2013) and European Federation of Pharmaceutical Industries and Associations (EFPIA) companies. Work in the lab of KP on multidrug efflux is funded by the Canadian Institutes of Health Research and Cystic Fibrosis Canada.The research of AVV and KMP was conducted as part of the Translocation Consortium (The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Although D&I models identify several potential facilitators and barriers to adoption of evidence-based practices, the contextual characteristics that determine the relative importance of these factors remain largely unknown. The objectives of this study were to identify the most significant facilitators and barriers to innovation and adoption of EBPs as determined by agency and program directors; explore whether facilitators and barriers identified are associated with agency role and pace of adoption; and explore whether consensus on barriers is associated with pace of adoption.Semi-structured interviews were conducted with agency and program directors of 36 New York State-supported mental health clinics. Agencies were classified based on level of participation in different implementation activities ranging from no engagement to participation in a webinar, in-person training, or learning collaboratives. Data were analyzed using grounded theory analytic methods. Intra-organizational consensus was defined as the number of barriers identified by both types of directors divided by the total number of unique barriers.Three interconnected themes relating to barriers and facilitators were identified: costs associated with adoption, capacity for adoption, and acceptability of new practices. Agency directors were more concerned about financial and organizational capacity, and client buy-in and fit, while program directors were more concerned about time for training and staff buy-in. Concerns about cost, time for training, client buy-in, and organizational capacity were inversely associated and concern about reimbursement was positively associated with pace of adoption. Agency consensus on barriers and facilitators was associated with pace of innovation.Organizations assess EBPs and other innovations in terms of costs, capacity and acceptability. This assessment varies by role within an organization and by an organization's level of engagement in implementation activities. Consensus within an organization as to specific facilitators and barriers is a potential predictor of EBP adoption and implementation.NIH-NIMH P30 MH090322."}
+{"text": "Physical activity is a vital component of good health, and it also helps reduce the severity of many chronic conditions . CurrentAlthough the study lacked conclusive evidence regarding the effect of medical school education and counselling knowledge/skill , it is a plausible assumption that doctors, having been taught how to prescribe exercise, would in turn counsel their patients effectively.However, the article does not consider other factors, in addition to medical school education, which can have an impact on physical activity counselling by healthcare professionals.One such factor is patient compliance. Justine et al. showed tIn addition, the lack of public facilities and initiatives to encourage people to exercise can also limit the amount of physical activity undertaken. From a different perspective, the organisation of the healthcare system of a country may impact the effectiveness of physical activity counselling on patients. For instance, in the United Kingdom, general practitioners (GPs) are the primary point of contact for many chronic conditions, and so educating all GPs about the effects of physical activity could have a greater impact on general health in a nation.These wider factors lie outside the remit of counselling from the clinician and therefore the actual clinical outcomes from educating medical students regarding physical activity counselling remains unknown.In conclusion, educating medical students about the importance of physical activity is an important aspect of the medical curricula, which is being omitted in many universities across the world. However, other factors need to be considered when assessing the clinical benefit of physical activity counselling.Shaan Rashid Imperial College London School of Medicine London, UK Email: sr3011@ic.ac.ukOmer A. Jamall Imperial College London School of Medicine London, UKSheeraz Iqbal Imperial College London School of Medicine London, UKAbeer F. Rizvi Imperial College London School of Medicine London, UKOsman Nayeem Imperial College London School of Medicine London, UKA. M. Hameed Khan Imperial College London School of Medicine London, UK"}
+{"text": "Packenham, Director of the National Institute of Environmental Health Sciences (NIEHS) Office of Human Research Compliance, Clinical Research Program (CRP) and Vice-Chair of the NIEHS Institutional Review Board (IRB); Jane M. Lambert, NIEHS CRP IRB Administrator; and Craig Wladyka, NIEHS, CRP, IRB Protocol Coordinator, for their roles in the review and oversight of the GuLF STUDY. The comments they made during the review process were incorporated into the study protocol and consent documents and played an important role in ensuring ethical and regulatory oversight of the study.The authors regret this omission."}
+{"text": "Escherichia coli, due to the reliability of the host and the ease of protein (over) production, in particular many enzymes, in a compatible host background. Consequently, coliphages such as T4 and lambda served as model phages in the development of molecular tools and the fundamental understanding of phage-host interactions. The advent of new generation sequencing technologies has in recent years provided a vast array of sequence data relating to Gram-positive phages and their hosts, which in turn has permitted the development of analogies between Gram-negative and Gram-positive phages. For example, sequence analysis of Bacillus subtilis and Lactococcus lactis phages SPP1 and Tuc2009, respectively, revealed genomes with a conserved gene and/or functional order relative to lambda, the main model for Siphoviridae phages. While the Gram-negative models have been extremely useful platforms, many questions have remained unanswered owing to the fundamental structural and compositional differences between the cell walls of Gram-negative and positive cells. In response to this knowledge gap, there has been a significant upsurge in research in the area of phages infecting Gram-positive bacteria and in particular, lactococcal phage-host interactions, which have now become one of the leading model systems along with the above-mentioned Bacillus subtilis phage SPP1 and the mycobacteriophage L5.Bacteriophage research has seen many peaks and troughs over the past century ascending with phage therapy and application in the early 1900's; a research peak which was largely overshadowed by the dawning of the antibiotic era, and which has now deservedly regained attention as an approach against the problematic rise in antibiotic-resistant pathogenic bacteria. Following this initial scientific highlight, the advent of molecular biology and biotechnology sparked a renewed interest in phages and their encoded enzymes and promoters, which are still employed as research tools today. Much of this research was conducted using phages of Gram-negative bacteria, particularly Leuconostoc, Oenococcus and Weissella (Kot et al., Listeria and Clostridium spp. (Hagens and Loessner, In the ensuing 11 articles, many key advances that now define our understanding of phage-host interactions of Gram-positive bacteria and their infecting phages are described. We collate these advances and define the current knowledge of cell wall structures that present the target molecule of phage attachment (Munsch-Alatossava and Alatossava, The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "The study of the microbial communities in the built environment is of critical importance as humans spend the majority of their time indoors. While the microorganisms in living spaces, especially those in the air, can impact health and well-being, little is known of their identity and the processes that determine their assembly. We investigated the source-sink relationships of airborne bacteria in 29 homes in the San Francisco Bay Area. Samples taken in the sites expected to be source habitats for indoor air microbes were analyzed by 16S rRNA-based pyrosequencing and quantitative PCR. The community composition was related to the characteristics of the household collected at the time of sampling, including the number of residents and pets, activity levels, frequency of cooking and vacuum cleaning, extent of natural ventilation, and abundance and type of vegetation surrounding the building.Diaphorobacter sp., Propionibacterium sp., Sphingomonas sp., and Alicyclobacillus sp. Source-sink analysis suggested that outdoor air was the primary source of indoor air microbes in most homes. Bacterial phylogenetic diversity and relative abundance in indoor air did not differ statistically from that in outdoor air. Moreover, the abundance of bacteria in outdoor air was positively correlated with that in indoor air, as would be expected if outdoor air was the main contributor to the bacterial community in indoor bioaerosols. The number of residents, presence of pets, and local tap water also influenced the diversity and size of indoor air microbes. The bacterial load in air increased with the number of residents, activity, and frequency of natural ventilation, and the proportion of bacteria putatively derived from skin increased with the number of residents. Vacuum cleaning increased the signature of pet- and floor-derived bacteria in indoor air, while the frequency of natural ventilation decreased the relative abundance of tap water-derived microorganisms in air.Indoor air harbored a diverse bacterial community dominated by Indoor air in residences harbors a diverse bacterial community originating from both outdoor and indoor sources and is strongly influenced by household characteristics.The online version of this article (doi:10.1186/s40168-015-0128-z) contains supplementary material, which is available to authorized users. The study of the indoor microbiome is of critical importance since humans spend the majority of their time indoors and thus regularly encounter microbes in this habitat. Microbes, including those present in indoor spaces, impact human health and well-being , 2. Whil3 of air a day . All additional files supporting the results of this article are included within the article and its additional files."}
+{"text": "The Organizational Process Improvement Intervention (OPII), conducted by the NIDA-funded Criminal Justice Drug Abuse Treatment Studies consortium of nine research centers, examined an organizational intervention to improve the processes used in correctional settings to assess substance abusing offenders, develop case plans, transfer this information to community-based treatment agencies, and monitor the services provided by these community based treatment agencies.A multi-site cluster randomized design was used to evaluate an inter-agency organizational process improvement intervention among dyads of correctional agencies and community based treatment agencies. Linked correctional and community based agencies were clustered among nine (9) research centers and randomly assigned to an early or delayed intervention condition. Participants included administrators, managers, and line staff from the participating agencies; some participants served on interagency change teams while other participants performed agency tasks related to offender services. A manualized organizational intervention that includes the use of external organizational coaches was applied to create and support interagency change teams that proceeded through a four-step process over a planned intervention period of 12 months. The primary outcome of the process improvement intervention was to improve processes associated with the assessment, case planning, service referral and service provision processes within the linked organizations.Providing substance abuse offenders with coordinated treatment and access to community-based services is critical to reducing offender recidivism. Results from this study protocol will provide new and critical information on strategies and processes that improve the assessment and case planning for such offenders as they transition between correctional and community based systems and settings. Further, this study extends current knowledge of and methods for, the study of evidence-based practice adoption and implementation.The online version of this article (doi:10.1186/2194-7899-2-1) contains supplementary material, which is available to authorized users. Screening and assessment are clinical processes used to detect and then determine the extent, pervasiveness, or severity of presenting problems or issues by patients in a variety of health and other service settings. For individuals engaged in criminal justice or correctional systems, these screening and assessment processes should identify and evaluate criminogenic risks, including mental health and drug abuse problems, in order to tailor correctional supervision and rehabilitative services to those who need them that include individuals in staff and managerial positions from correctional and community treatment agencies. The objectives of this study are threefold: (1) improve the quality of the assessment and case planning processes of correctional-based agencies; (2) assess the effectiveness of an externally facilitated, interagency change team process in implementing targeted process improvements; and (3) evaluate the impacts and determinants of this change process upon staff behavior, attitudes, and quality of assessment and case planning processes.The social significance of this study lies in its context within criminal justice systems and its focus on the processes of offender assessment and case referral, an interagency juncture long recognized to be faulty and ill-devised from implementation strategies (those activities delivered to organizations and providers delivering the intervention strategy) while NIATx involves a single agency.The implementation strategy of the OPII is similar to the NIATx model that uses a change team and coach to bring about process improvements in behavioral health settings . The individual designated for this position was expected to have direct line communications to the chief executive officer of the corrections partner agency in which the OPII was being conducted. The LCTL served as the communication and decision-making pipeline with the corrections agency CEO and facilitated logistical and operational change processes identified by the LCT.The facilitator was an individual who worked with the LCT throughout the organizational improvement process. Each research center, in cooperation with the relevant correctional agency partner, selected facilitators who were under the employ of the RC. In general, facilitators had previously worked directly with agency providers in some capacity and possessed credentials and experience that provided credibility with the LCT.Facilitators helped LCTs stay on track and on task as they engaged in a structured, five-phase model of assessing and improving the quality of their interagency assessment and case planning mechanisms within correctional and community treatment systems. The five structured phases of the OPII and the planned duration of each phase were as follows: (1) Team Development (1\u20132 months); (2) Needs Assessment (3\u20134 months); (3) Process Improvement Planning (3\u20134 months); (4) Implementation (6 months); and (5) Follow-Up/Sustainability (6 months).During the Needs Assessment phase, the LCT engaged in a variety of information gathering and group decision-making techniques to critically examine and prioritize gaps or capacities in four core quality dimensions of their shared assessment and case planning processes: 1) Was the correctional agency using evidence-based and validated means for assessing the needs of offenders? (2) Were these needs identified and prioritized in the resulting case plans developed by the correctional agency? (3) Did the correctional agency share this assessment and case plan information with their referring community-based treatment providers, and did the providers find this information useful? (4) Did the community based agency provide services that addressed the needs of the offenders? The LCT, with assistance provided by the facilitator, used information gathered during the Needs Assessment to identify improvement goals, created a Process Improvement Plan (PIP), and carried out the implementation activities they had set out for themselves participated in this study, with each RC comprised of correctional/criminal justice (CJ) agencies, community-based treatment agencies, and researchers. The role of each RC in the OPII study was to create and participate in the implementation strategy and to participate in workgroups that addressed issues such as implementation, data collection and quality, analysis, and publication. Resources and incentives provided by the research centers to the CJ and community providers varied across centers, but included opportunity and nominal funding for education (continuing education units), improvements in delivery of services, and development of an implementation process that could be used after the research was completed.Evaluation of the OPII used a multi-site cluster randomized design. Organizational clusters consisted of linked correctional and one or more community-based substance abuse treatment agencies providing correctional and substance abuse treatment services to common clients. Nine research centers contributed at least two clusters both of which were located within the same state. In this design, one cluster was randomly assigned to an early start condition, and the other cluster was assigned to a delayed start condition introduce a design effect that must be estimated for sample size determinations and incorporated into analyses of study data of the participating correctional settings served adults, but two of them served juveniles. There are 10 sites (clusters) in each study condition, for a total of 21 study sites.The outcomes of primary interest were those related to change in the intervention being provided to offenders, namely, assessment and case planning processes. Measures of intervention outcomes included congruence between assessed needs and case plan recommendations, quality of the content of the case plan, conveyance of case plans to community treatment providers, and cross-organizational coordination.Also of interest were the implementation outcomes of the facilitated change intervention process itself, which are related to fidelity and acceptability of the activities of the OPII. It was hypothesized that success in achieving process improvement goals, with regard to the assessment and case planning process, were dependent upon commitment to the intervention by members of the LCT, satisfaction with the facilitation, executive management support, interagency collaboration, and the quality and intensity of facilitation.Quantitative data collected for this study included structured ratings of correctional agency offender case plans and surveys of members of the LCT and other organizational staff in the participating agencies.The Assessment and Recommendations for Treatment Rating Form (ART/RF) provided ratings of four quality dimensions of the case plans. These dimensions included: (1) Measurement (the problem or service needs assessed by a given agency); (2) Integration with the Case Plan (the degree to which the case plan targets needs identified); (3) Conveyance (evidence that the case plan was shared with the community based treatment provider); and (4) Services Activation (evidence that the community-based treatment provider delivered services in accordance with the needs identified in the case plan). Case plan ratings were collected before the start of the intervention (baseline), during the intervention , and during the Sustainability/Follow-up phase. In each period, research staff randomly selected five case plans per month from agency records and rated them using the ART-RF. Case plans from the Delayed-Start sites were rated during the same period of time as for the Early-Start sites. Composite scores for each of the four quality dimensions were calculated for the five cases sampled each month, generating four ratings per month.The Baseline Survey of Organizational Characteristics (BSOC) describes the organizational characteristics, climate, and culture of the participating sites across the three CJDATS studies . The BSOC was adapted from previously developed and validated instrumentation, including the TCU Survey of Organizational Functioning (TCU-SOF) of the participating agencies were conducted periodically throughout the OPII intervention, specifically at the end of the Process Improvement Planning Phases, the end of the Implementation Phase and at the end of the Sustainability/Follow-Up Phase. Respondent interviews were valuable to understand and clarify the experiences, motivations, and underlying attitudes of participants involved in change projects Tracy . The intInterviews were conducted by members of each research center, either in person or over the phone. Interviews were audio recorded, transcribed, fact-checked, stripped of identifying information, and then analyzed using a multi-part group and individual coding process.The level of congruence between transitional offender assessments and case plans.The level of presence of accepted principles of case plan development in case plans.The percentage of case plans forwarded from correctional agencies to community treatment programs.The level of the use of case plans by community-based substance abuse treatment programs.Staff perceptions of the assessment-case planning process.The primary hypotheses of the study are that enhancements or improvements in each of the following outcomes occur only after the introduction of a specific and structured process improvement initiative (OPII):The degree to which LCTs exhibit fidelity to the designated elements of OPII.The degree of commitment by LCT members to achieving the goals of the plan.The level of staff satisfaction with the implementation strategy.The degree of management support within the organization for the intervention.The strength of the working alliance between the facilitator and the LCT.Secondary hypotheses are concerned with factors affecting the degree of success that LCTs experienced in achieving the goals they established for themselves. LCTs\u2019 success in achieving the goals for their Process Improvement Plans (PIP) were expected to be positively related to:The implementation questions for the OPII study include: (1) How are implementation outcomes related to variations across states in system characteristics, configurations of LCTs, assessment processes, and study implementation? (2) Were the improvements in assessment and case planning procedures identified by each LCT implemented as intended? (3) What does the OPII cost in terms of staff time devoted to designing and implementing the PIP? (4) Are OPII-initiated changes in assessment and case planning sustained following the end of the intervention? (5) In what ways does collaboration between organizations involved in the OPII change over the course of the intervention?Each research center obtained Institutional Review Board approval through an established FWA-recognized entity. In most instances, approvals were also secured from participating correctional and/or treatment agency research/IRB committees. Informed consent was obtained by research participants, including staff and managers of participating agencies, at varying points of time throughout the study, depending upon data collection requirements. Baseline structured staff surveys and corresponding participant consent were administered at the time of the kick off meeting of the early start site for participants of both the Early-Start and Delayed-Start sites. Qualitative interviews occurred after the randomization. ART-RF case ratings samples began six months prior to randomization; since the ratings did not collect personal identifying information, but rather agency documentation patterns, offender consent was not required.The organizational intervention under study in this paper will extend the use of interagency LCTs and externally facilitated organizational coaching to enhance the shared processes of assessment, case planning, service referral, and treatment provision processes between correctional agencies and community based treatment agencies. This study will generate and extend knowledge related to the science of implementation and organizational change in at least four key areas.First, the study will provide some of the first evidence of the effectiveness of change teams and facilitated coaching strategies to bring about changes in organizational processes within correctional systems. While the utilization of organizational coaching and facilitation has been recognized as an effective organizational change process in correctional systems , but also nearly all of the survey measures, present major risks and challenges to the analysis and interpretation processes. Nonetheless, the focused efforts at construct triangulation, drawing upon multi-methods data collection provide the potential for advancing measurement sophistication in this nascent field of inquiry. The reflective nature of our intervention design, one in which the speed at which the LCTs progress through the planned phases of the intervention, as well as the targeting of the process improvement goals selected by each LCT, present significant risks and challenges to analysis and interpretation. Finally, given the local setting context within which these LCTs are formed, the potential for spillover or generalization effects between early start and local start sites is an area for concern. For each of these methodological risks and liabilities, we have taken efforts to anticipate and guard against the most egregious risks, and we hope, in the process, to make significant contribution to the study of organizational improvement and implementation in general and within the unique context of correctional settings in particular.aCopies of the Facilitator Manual can be obtained by contacting the corresponding author.bAlthough there were nine (9) CJDATS Researcher Centers, one Center had two sets of study sites in two states, while another Center had a total of three study sites. The remaining seven research centers fielded one cluster each, with two study sites per cluster (n\u2009=\u200914).The CJDATS Assessment Workgroup members who participated in the development of the Assessment protocol are : David Duffee, Cassia Spohn (Arizona State University), Karen McKendrick, , Matthew Hiller, Roger Peters, Ralph B. Taylor, Gary Zajac (Temple University), Wayne Lehman (Texas Christian University), Linda K. Frisman, Colleen Gallagher, Eleni Rodis (University of Connecticut), Steven S. Martin, Cynthia Robbins (University of Delaware), Jamieson Duvall, Erin McNees Winston, Michele Staton Tindall (University of Kentucky), Bennett W. Fletcher ."}
+{"text": "While advances in neuroscience are helping to improve many aspects of human life, inequalities exist in this field between Africa and more scientifically-advanced continents. Many African countries lack the infrastructure and appropriately-trained scientists for neuroscience education and research. Addressing these challenges would require the development of innovative approaches to help improve scientific competence for neuroscience across the continent. In recent years, science-based non-profit organisations (NPOs) have been supporting the African neuroscience community to build state-of-the-art scientific capacity for sustainable education and research. Some of these contributions have included: the establishment of training courses and workshops to introduce African scientists to powerful-yet-cost-effective experimental model systems; research infrastructural support and assistance to establish research institutes. Other contributions have come in the form of the promotion of scientific networking, public engagement and advocacy for improved neuroscience funding. Here, we discuss the contributions of NPOs to the development of neuroscience in Africa. The centralised role of the nervous system in coordinating both conscious and unconscious bodily processes, actions and perceptions makes neuroscience an important discipline in biomedical research Lewis . Yet, adWhile these developments in neuroscience provide hope to improve our understanding of the biological basis of organismal health and development, large proportions of these advances have come from research laboratories in continents that are more developed than Africa sponsoring promising African researchers for short-term training in leading universities abroad, and (2) awarding scholarships for graduate training abroad , Korle Bu Neuroscience Foundation , NeuroLeadership Institute (https://www.neuroleadership.com), The Dana Alliance for Brain Initiatives (http://www.dana.org) and Seeding Labs (http://seedinglabs.org). We will also highlight how some of these NPOs have partnered with scientific societies, funding agencies and universities in the delivery of their support initiatives, and how other organisations and individuals can emulate such strategies.To ensure that more scientists in Africa benefit from outstanding neuroscience training and are also supported to conduct high-impact research, some science-based non-profit organisations (NPOs) have been partnering the African neuroscience community to provide modern research infrastructure and training courses conducted at African universities. Other contributions have come in the form of promoting pan-African scientific networking, public engagement and advocacy for improved neuroscience funding. In this article, we discuss the contributions of these NPOs to neuroscience capacity building in Africa. This discussion will focus on NPOs that have provided support specifically for neuroscience education and research within Africa. The NPOs, identified through their contributions to the specific areas of capacity building discussed later in the article, include; Teaching and Research in Natural Sciences for Development in Africa as powerful-yet-cost-effective model organisms for neuroscience research, the annual neuroscience summer courses also provide training in the development of experimental techniques for cutting-edge research , listing the equipment they need and the contact person for correspondence. TReND in Africa volunteers then appeal to leading institutions in Europe and North America which might have these equipment as surplus-yet-functional resources to donate. Upon donation, the equipment are packed and shipped to the African partner university; the receiving institution covers only the shipping cost. This approach provides a cost-effective means for African institutions to obtain research equipment. To date, KIU in Uganda has been the largest beneficiary of this support system, leading to the establishment of an Institute for Biomedical Research is one of the effective means of building neuroscience capacity in the continent. Learning from this, neuroscientists in Africa (and scientists in other disciplines) can devise similar strategies to develop mechanisms of overcoming the chronic challenges that have caused science in the continent to lag behind other parts of the world. This way, resident scientists in Africa would obtain improved access to urgently-needed tools and materials in order to promote their teaching and research activities. We also call on African governments, industries and other NPOs to increase investments in neuroscience in order to help advance healthcare, education, business, economics and social wellbeing in the continent.IBRO, International Brain Research Organization; KBNF, Korle Bu Neuroscience Foundation; KIU, Kampala International University; TReND in Africa, Teaching and Research in Natural Sciences for Development in Africa; NPO, non-profit organisation"}
+{"text": "The Building Blocks trial [ISRCTN 23019866] assessed the short-term impact of an intensive programme of antenatal and postnatal visiting by specially trained nurses to support young pregnant women. This follow-on study, BB: 2-6, will assess the programmes' impact on longer-term benefits for mothers and children, through the linkage of routinely collected data, with a particular emphasis on the programmes' impact upon child maltreatment.Follow up will be by linked anonymous data abstraction from the Health and Social Care Information Centre (HSCIC), Office for National Statistics (ONS) and Department for Education, National Pupil Database (NPD). These information centres (ICs) will match participants to the information held in their databases, and send to a third party safe haven.Re-consenting of all mothers would have resulted in a drastic loss of participants therefore section 251 support was sought to allow the transfer of identifiers to ICs for matching. This support required participants to opt-out rather than consent in.This project will complete in 2018. What has been achieved thus far is the establishment of a regulatory compliant model of linking health, social care and education data to clinical data. This model of linkage offers the possibility for long term evaluation of trials, at lower cost, and with the potential to extend to other sources of routine data.This presentation will review the approach established in this study, reflect on the dis/advantages of the approach, summarise the conditions of s251 support, information governance compliance, IC requirements and finally the challenges (and solutions) faced thus far."}
+{"text": "Despite the proliferation of evidence-based treatments (EBT), there is little evidence that they are successfully implemented in real world behavioral health systems, fueling an ongoing debate about whether and how systems should invest in infrastructure to support implementation of EBT and the use of data and research to inform policy. Ironically, however, there are few empirical studies of whether and how public systems are living up to the promise of data- and research-based decision-making. The current study used data from the National Association of State Mental Health Program Directors (NASHMPD) Research Institute's (NRI) longstanding effort to compile information on state mental health authorities to examine the degree to which state systems currently invest in EBT and data-driven decision-making, and how such investments have changed over the period from 2001-2012. The study focused on: (1) Rates of implementation of specific EBT programs; (2) Types of state-provided or-facilitated EBT training and workforce support; and (3) State investment in evaluation, data, and research use. Data originated from three NRI projects for which annual or semi-annual data relevant to the above research questions were available: the State Profiles System (SPS), the Revenues and Expenditures Study (R&E), and the Uniform Reporting System (URS). Results found that after an initial increase from 2001-2004, rates of implementation of both child and adult EBTs have been consistently flat for the last decade, with investment in EBTs for adults 2-6 times higher than for children's services. Data also show variability over time in the types of implementation supports being used, with states increasingly emphasizing EBT in contracts with providers, modification of IT systems, and \"awareness building,\" and less on specific budget requests for EBT implementation or financial incentives for EBT use. Of concern, state investment in research and evaluation capacity and database integration efforts appear to be decreasing. Results of this ongoing research initiative are intended to strengthen the D&I knowledge base on the use of research findings in public systems, informing future national priorities and state efforts, promoting additional research, and serving as a baseline metric for reform efforts."}
+{"text": "Dengue outbreaks in the Guangdong province reached epidemic proportions in the last quarter of 2014. According to the Guangdong provincial health and family planning commission (Although dengue, one of the most strongly emerging, neglected tropical diseases worldwide and presently without widely available drugs or vaccines, has a geographical distribution in South China , this ouChina needs to tackle the increase in dengue. The lessons learnt from previous infectious disease outbreaks such as SARS and H7N9 can be of value. The Chinese government has taken the following surveillance and control measures for dengue: strengthening surveillance and situation analysis; reinforcing case management and medical treatment; and conducting risk communication with the public and releasing information. Of note, the Patriotic Health Campaign Committee Office is a government organisation in each city or county, which can organise the resources needed to address issues of community hygiene. The government should also advise travellers to areas with known dengue outbreaks to take precautions such as avoiding mosquitoes.Chengshen JiangMaryland Institute for Applied Environmental HealthUniversity of MarylandCollege Park, MD, USAJohn S. SchieffelinDepartment of PediatricsSection Adult & Pediatric Infectious DiseaseTulane University School of MedicineNew Orleans, LA, USAJian LiDepartment of Biostatistics and BioinformaticsTulane University School of Public Health andTropical MedicineNew Orleans, LA, USAWenjie SunSchool of Food ScienceGuangdong Pharmaceutical UniversityZhongshan, ChinaDepartment of Global Health and Environmental SciencesTulane University School of Public Health andTropical MedicineNew Orleans, LA, USAEmail: wsun3@tulane.edu"}
+{"text": "Tension headache (TH) belongs to most frequent type of the idiopathic cephalalgies. Depression and serotonins metabolism disorders play a leading role in the pathogenesis of TH.Study the dependence of the intensity of the TH of degree of depression, anxiety and levels of serum serotonin.The complex algic, psychometric test and determination of concentration of blood serum serotonin (S) by the method of immunoenzyme analysis were performed in 140 patients with TH.At patients of first group the intensity of episodic TH (44 man) was 56\u00b14,32 mm according to 100-mm visual analogue scale. All patients of this group had high level of reactive anxiety , moderate level of depression and tendency to the decreasing of blood S concentration . The second group consists of 96 patients with chronic TH. Straight correlation between duration and intensity of ache, indices of reactive and personal anxiety , high depression level and significant decreasing of blood S concentration was determined in all patients of this group.Concentration of blood serum serotonin depends on duration and intensity of ache, level of depression and anxiety. Therefore, serotonin of blood serum can be used as biomarker of ache intensity, level of depression.No conflict of interest."}
+{"text": "The aim of the present study is to empirically test the theoretical model, Positive Self and Relational Management (PS&RM), for a sample of 184 Italian university students. The PS&RM model specifies the development of individuals' strengths, potentials, and talents across the lifespan and with regard to the dialect of self in relationship. PS&RM is defined theoretically by three constructs: Positive Lifelong Life Management, Positive Lifelong Self-Management, Positive Lifelong Relational Management. The three constructs are operationalized as follows: Positive Lifelong Life Management is measured by the Positive and Negative Affect Schedule (PANAS), the Satisfaction With Life Scale (SWLS), the Meaningful Life Measure (MLM), and the Authenticity Scale (AS); Positive Lifelong Self-Management is measured by the Intrapreneurial Self-Capital Scale (ISC), the Career Adapt-Abilities Scale (CAAS), and the Life Project Reflexivity Scale (LPRS); and Positive Lifelong Relational Management is measured by the Trait Emotional Intelligence Questionnaire (TEIQue), the Multidimensional Scale for Perceived Social Support (MSPSS), and the Positive Relational Management Scale (PRMS). Confirmatory factor analysis of the PS&RM model was completed using structural equation modeling. The theoretical PS&RM model was empirically tested as defined by the three hypothesized constructs. Empirical support for this model offers a framework for further research and the design of preventive interventions to promote decent work and decent lives in the twenty-first century. Across the lifespan, individuals inevitably confront multiple challenges in the domains of work and relationship. While these are longstanding human challenges, recent economic, and social changes related to unemployment, globalization, and the changing nature of work have created a crisis involving underemployment, unemployment, and subsequent loss of financial security. The field of vocational psychology can assume a leadership role in responding to the current crisis by advancing theories, research, and practices that address the impact of these pressing social and economic challenges . Participants were predominantly White Italians from middle-class backgrounds.Participants are 184 Italian students of the University of Florence. Regarding gender, 81 participants were male (44%) and 103 participants were female (56%). The age of the participants ranged from 22 to 27 years and negative affect (NA), the Positive and Negative Affect Schedule . Concerning ethical standards for research, the study followed procedures consistent with the latest version of the Declaration of Helsinki revised in Fortaleza , NNFI = 0.93, CFI = 0.93.The goodness-of-fit indices for the best model are the following: \u03c7An evaluation of these indices in relation to the results of the analysis for this study reveals good fit and support for the PS&RM model.The aim of the present study was to provide empirical support for the conceptualization of PS&RM (Di Fabio, Structural equation modeling confirmed the hypothesized structure articulated by the three lower order latent constructs: Positive Lifelong Life Management, Positive Lifelong Self-Management, and Positive Lifelong Relational Management. The construct of Positive Lifelong Life Management integrates hedonic and eudaimonic well-being, meaning in life and authenticity. Given that rapid social, economic, technological, and career change can disrupt a sense of meaning, coherence, and well-being Masten, , the capThe second construct Positive Lifelong Self-Management emphasizes self and intraindividual resources considered important for coping proactively with the challenges of the post-modern era (Di Fabio, The third construct Positive Lifelong Relational Management includes personal (e.g., trait emotional intelligence; Petrides and Furnham, In sum, the current study provides empirical support for the conceptualization of PS&RM as Positive Lifelong Life Management, Positive Lifelong Self-Management, Positive Lifelong Relational Management. Considered collectively, the three dimensions consider the importance of advancing a state of well-being that benefits the individual and society and promotes personal skills to adapt to change and uncertainty while integrating and balancing individual, relational, and community concerns and interests. Together, the dimensions are supportive of decent work and decent life.Although the results of the present study test the PS&RM model (Di Fabio, If the PS&RM model is tested and validated in future research with diverse populations, it may offer a useful framework for preventive intervention. As a preventive framework (Hage et al., It is our hope that the preventive and relational framework specified by the PS&RM model can contribute to building decent work and decent lives for many people in the twenty-first century. We propose that life construction (Guichard, AD and MK conceptualized the study, chose the theoretical framework and chose the measures. AD collected the data and with MK wrote the methods and results. Then the authors wrote the paper together and read and revised the manuscript several times.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "To assess different methods for determining cause of death from verbal autopsy (VA) questionnaire data, the intra-rater reliability of Physician-Certified Verbal Autopsy (PCVA) and the accuracy of PCVA, expert-derived and data-driven algorithms were assessed for determining common causes of death in Ugandan children. A verbal autopsy validation study was conducted from 2008-2009 in three different sites in Uganda. The dataset included 104 neonatal deaths (0-27 days) and 615 childhood deaths (1-59 months) with the cause(s) of death classified by PCVA and physician review of hospital medical records (the \u2018reference standard\u2019). Of the original 719 questionnaires, 141 (20%) were selected for a second review by the same physicians; the repeat cause(s) of death were compared to the original,and agreement assessed using the Kappa statistic.Physician reviewers\u2019 refined non-hierarchical algorithms for common causes of death from existing expert algorithms, from which, hierarchal algorithms were developed. The accuracy of PCVA, non-hierarchical, and hierarchical algorithms for determining cause(s) of death from all 719 VA questionnaires was determined using the reference standard. Overall, intra-rater repeatability was high . PCVA performed well, with high specificity for determining cause of neonatal (>67%), and childhood (>83%) deaths, resulting in fairly accurate cause-specific mortality fraction (CSMF) estimates. For most causes of death in children, non-hierarchical algorithms had higher sensitivity, but correspondingly lower specificity, than PCVA and hierarchical algorithms, resulting in inaccurate CSMF estimates. Hierarchical algorithms were specific for most causes of death, and CSMF estimates were comparable to the reference standard and PCVA. Inter-rater reliability of PCVA was high, and overall PCVA performed well. Hierarchical algorithms performed better than non-hierarchical algorithms due to higher specificity and more accurate CSMF estimates. Use of PCVA to determine cause of death from VA questionnaire data is reasonable while automated data-driven algorithms are improved. Verbal autopsy (VA) is an indirect method of determining cause of death based on an interview with the caretakers of a deceased individual, which has been widely used to collect information on cause-specific mortality where vital registration systems are lacking and medical information on deaths is incomplete . DiffereThe most widely used method is physician review, known as physician-certified VA (PCVA), in which physicians are trained to review questionnaire data and determine cause of death. Although the validity of PCVA has been evaluated , concernAn alternative to PCVA for determining cause(s) of death from VA data are algorithms. Algorithms can be expert-derived or data-driven. Expert algorithms include a set of pre-defined diagnostic criteria developed by a panel of physicians,based on experience or review of existing literature . AlternaData from a VA validation study conducted in three epidemiological settings in Uganda were used to investigate the performance of different methods for determining causes of death from VA data. We evaluated the intra-rater reliability of PCVA, and also compared the accuracy of PCVA to that of two algorithms; one developed with the input of expert physicians and another data-driven .The VA data-set used to investigate the performance of different methods for determining causes of death was obtained from a VA validation study that was approved by the Ugandan National Council for Science and Technology, the Centers for Disease Control and Prevention, and the ethics committees of Makerere University Faculty of Medicine, and the London School of Hygiene and Tropical Medicine. Details of the VA validation study method are published elsewhere . BrieflyTwenty percent of VA questionnaires were systematically sampled for assessment of intra-rater reliability. Using a list of sequentially ordered identification numbers for each site, we systematically selected every fifth VA questionnaires with the corresponding COD originally determined by physician review of the data. VA questionnaires were re-evaluated by the original physician a second time. Re-determination of causes of death from VA questionnaires occurred 3\u20139 months after the original assessment, and physicians were blinded to the causes of death recorded in the original VA death certificate.The non-hierarchical algorithms were based on previously published expert algorithms ,21,29\u201331Hierarchical algorithms were developed by ranking the performance of the non-hierarchical algorithms to reach common causes of childhood deaths, including neonatal deaths. Ranking was prioritized based on specificity of causes of death as determined using expert algorithms. The cause of death with the highest specificity wasplaced at the top of the hierarchy while the least specific was placed at the bottom . NeonataOriginal) to the re-determined CSMF (CSMF Repeat).The cause of death determined by physicians upon repeat review of VA questionnaires was compared to the cause of death originally determined by the same physician. The percentage level of agreement and Kappa statistic was calculated using Stata 12 for each physician. Interpretation of Kappa values was based according to the criteria of Landis and Kock , who recA database comprised of responses to closed-ended sections of VA questionnaires, and the reference causes of death derived from medical records were generated. Causes of death determined by non-hierarchal algorithms were derived by applying non-hierarchal algorithms to the closed-ended sections of VA questionnaires. Non-hierarchal algorithms were capable of classifying more than one cause of death. Hierarchal algorithms were also applied to the same VA questionnaire database, generating a single cause of death for each questionnaire.PCVA), non- hierarchical algorithms (CSMFNHA) and hierarchal algorithms (CSMFHA). The difference between the CSMF determined using each of the three methods and the \u2018reference standard\u2019 (CSMFMR) was calculated for the common causes of death. For neonatal and childhood deaths, where algorithms were developed for five and four commonest causes of death respectively, causes of death that did not fit the commonest cause of death list were categorized as \u2018others\u2019 and were factored in all analysis.The sensitivity and specificity of each method for determining cause of death were calculated by comparing the cause of death assigned by each method to the \u2018reference standard\u2019 for causes of death derived from hospital medical records, including malaria, pneumonia, diarrhea, meningitis, malnutrition, and HIV. CSMF estimates of the leading causes of death were also calculated for PCVA , non-hierarchical algorithms , and hierarchical algorithms (1% and 2% difference respectively). Non-hierarchical algorithms (50% difference), and hierarchical algorithms (16% difference) overestimated the CSMF for septicemia deaths compared to PCVA (-3% difference) that performed best. On the contrary non-hierarchical algorithms (5% difference), and hierarchical algorithms (-4% difference) had better CSMF estimates for meningitis deaths compared to PCVA deviated greatly from the reference standard , with a tendency to overestimate the CSMF for the leading causes of death across all sites. The CSMF estimated by PCVA (CSMFPCVA) and the hierarchal algorithms (CSMFHA) approximated that of the reference standard (CSMFMR) for all cause(s) of death, performing far better than non-hierarchical algorithms. However, overall CSMF estimates of malaria deaths were best approximated by hierarchal algorithms (0% difference), exceeding performance of both PCVA (6% difference) and non-hierarchical algorithms (56% difference), which both overestimated the fraction of deaths attributable to malaria when compared to the reference standard of death and a marked decline in specificity.Hierarchical algorithms assigning a single cause of death from each VA questionnaire resulted in an increase in specificity of the algorithm in determining causes of death, but at the expense of sensitivity which declined. However, compared to the non- hierarchal algorithms, hierarchal algorithm estimates of the reference CSMF were accurate and as good as those of PVCA for all the common causes of death; a fact attributed to the high specificity levels of hierarchal algorithms. This finding, previously described by Anker et al , demonstSeveral computerized methods premised on different algorithmic methods , probabilistic approaches have been developed as alternative methods of determining cause(s) of death from VA questionnaires ,33,36\u201338InterVA uses a probability matrix, which was derived from clinical knowledge of group of physicians , and in Our study is not without limitation. Internal evaluation of the performance of the hierarchical algorithm may have biased results, showing good performance of the hierarchical algorithms. However, the results of our analysis are strengthened by the inclusion of three different study sites. Furthermore, the small sample of deaths among some of the causes of the death in both neonates and children, especially when stratified by site, may have undermined our ability to detect representative estimates of measures of performance.Our study provides insights into the performance of different methods for determining cause(s) of death from VA questionnaire data collected in three sites. Importantly, we demonstrate that repeatability of PCVA is high, contrary to expectation, and that overall PCVA performed well. Thus, based on our results and available evidence so far, PCVA remains a reliable method for determining cause of death from VA questionnaire data. Given the lack of consensus on the accuracy of recently developed CCVA methods, PCVA still has a place in determining cause of death in VA, while existing and newer automated data-driven algorithms, which undoubtedly would be more efficient, are further developed, refined, and evaluated."}
+{"text": "A 70-year-old man referred for cataract surgery, had on examination a palette of colored needle-shaped opacities in the cortex and anterior nucleus of the lens, consistent with unilateral Christmas tree cataract. This type of cataract result from the accelerated breakdown of membrane associated proteins. The peptides and amino-acids accumulate in the lumen of the reticular meshwork, and cystine is concentrated beyond the level of crystallization, giving rise to growing crystals."}
+{"text": "Inflammation in the face of harming stimuli protects the organism; as a result, it is an essential route for survival, in which both innate and adaptive immunity are involved. This process must be tightly controlled and terminated in order to warrant the reestablishment of body homeostasis. Therefore, activation of resident inflammatory cells and the recruitment and modulation of migrating inflammatory cells must be ceased. When failure in neutralizing acute inflammation occurs, there is augmented risk of development of chronic inflammation, leading to several metabolic consequences. In the present special issue, original research studies as well as review articles address the inflammatory process as a key contributor to disease onset and progression. In addition, pharmacological and nonpharmacological therapies are examined and the molecular and physiological mechanisms of the treatments are discussed.Among the 24 accepted papers, 7 approach nutritional therapy and inflammation . The selected papers discuss the effects of Macadamia oil supplementation attenuation of adipocyte hypertrophy and of the inflammatory response of adipose tissue macrophages. The protection induced by supplementation of chitosan coacervate whey protein against metabolic changes and obesity-related inflammation is investigated. Other papers examine Jussara supplementation-associated reversal of the adverse effects of perinatal intake of transfatty acids, the beneficial effect of red genistein extract on autoimmune arthritis, and the role of vitamin C in the resolution of inflammation. Finally, the promotion, by nutritional intervention, of the recovery of glucose homeostasis is discussed. In addition, results on the effect of microencapsulated probiotics on alcoholic liver disease are presented. Taken together, these papers show new encouraging results of nutritional therapy in counteracting the symptoms of obesity and insulin resistance.The ability of exercise to modulate chronic inflammation was the center of two papers . These studies report that a community-based exercise program results in decrease or maintenance of inflammatory biomarkers after 1 year and thus presents strong potential in public health approaches for chronic disease prevention.Inflammation and its mechanisms are discussed in the development and progression of many diseases, such as in ectopic fat deposition , acute and chronic kidney disease , and polymicrobial sepsis . The role of interleukin- (IL-) 18 in the regulation of toll-like receptors and mannose receptor expression is examined. Inflammation in the metabolic syndrome and the effect of metformin on autoimmune arthritis are debated. Gut microbiota participation in inflammation is addressed , and its regulation by short-chain fatty acids in diabetes contemplated. The contribution of circulating LL-37 and inflammatory cytokines in the setting of plaque and guttate psoriasis is commented on. Other papers consider ionotropic and metabotropic proton-sensing receptors in allergic asthma and autologous bone marrow stem cell transplantation in myocardial infarction . Flavocoxid and infliximab are examined in the context of classical and nutraceutical therapies . The role of IL-38 and related cytokines in inflammation is discussed, in addition to gingival inflammation and pregnancy and the contribution of the immune system in triplet repeat expansion diseases .Collectively, this issue provides insight on the role of acute and chronic inflammation in different diseases and discusses mechanisms and new treatment strategies.M. SeelaenderM. SeelaenderJ. C. Rosa NetoJ. C. Rosa NetoG. D. PimentelG. D. PimentelR. S. GoldszmidR. S. GoldszmidF. S. LiraF. S. Lira"}
+{"text": "Infections of poultry species with virulent strains of Newcastle disease virus (NDV) cause Newcastle disease (ND), one of the most economically significant and devastating diseases for poultry producers worldwide. Biological engagement programs between the Southeast Poultry Research Laboratory (SEPRL) of the United States Department of Agriculture and laboratories from Russia, Pakistan, Ukraine, Kazakhstan, and Indonesia collectively have produced a better understanding of the genetic diversity and evolution of the viruses responsible for ND, which is crucial for the control of the disease. The data from Kazakhstan, Russia, and Ukraine identified possible migratory routes for birds that may carry both virulent NDV (vNDV) and NDV of low virulence into Europe. In addition, related NDV strains were isolated from wild birds in Ukraine and Nigeria, and from birds in continental USA, Alaska, Russia, and Japan, identifying wild birds as a possible mechanism of intercontinental spread of NDV of low virulence. More recently, the detection of new sub-genotypes of vNDV suggests that a new, fifth, panzootic of ND has already originated in Southeast Asia, extended to the Middle East, and is now entering into Eastern Europe. Despite expected challenges when multiple independent laboratories interact, many scientists from the collaborating countries have successfully been trained by SEPRL on molecular diagnostics, best laboratory practices, and critical biosecurity protocols, providing our partners the capacity to further train other employes and to identify locally the viruses that cause this OIE listed disease. These and other collaborations with partners in Mexico, Bulgaria, Israel, and Tanzania have allowed SEPRL scientists to engage in field studies, to elucidate more aspects of ND epidemiology in endemic countries, and to understand the challenges that the scientists and field veterinarians in these countries face on a daily basis. Finally, new viral characterization tools have been developed and are now available to the scientific community. Newcastle disease (ND) is one of the most significant diseases of poultry worldwide. It is caused by virulent strains of Newcastle disease virus (NDV), also known as avian paramyxoviruses of serotype 1 (APMV-1). The presence of virulent viruses in poultry must be immediately reported to the World Organisation for Animal Health . Whether in domestic poultry or wild birds, vNDV strains remain a threat to all producers of poultry.In 1998, the US Department of State (DOS) assisted selected former Soviet chemical and biological weapons scientists to redirect their efforts to peaceful, agricultural research and to help reduce the proliferation of weapons of mass destruction. Almost a decade later, the DOS Biosecurity Engagement Program (BEP) was implemented with the broader mission of providing financial and intellectual assistance to microbiological laboratories to enhance biosecurity, biosafety, and pathogen and disease surveillance, while decreasing biological threats, globally. The collaborations expanded past the former Soviet Union (FSU) to include South and Southeast Asia, the Middle East and Africa. One area of common mutual interest across these regions was scientific collaboration on avian influenza virus (AIV) and NDV, both notifiable and listed diseases to the OIE.In 2000, a long-standing collaboration between the ARS Southeast Poultry Research Laboratory (SEPRL) and Russian counterparts began on avian influenza and NDV and provided unique opportunities for surveillance and research in the region. In 2002, SEPRL began collaborating with partners in Kazakhstan; in 2010, collaborations began with Ukraine, Egypt and Indonesia; and in 2011, with Pakistan. From 2000 to 2015, SEPRL has collaborated on 14 bio-engagement research projects on avian influenza and ND with its global partners mainly funded by the DOS, but also more recently by the Department of Defense\u2009\u2013\u2009Defense Threat Reduction Agency. While most of the initial interactions with foreign laboratories often began with the training of collaborators at SEPRL, formal scientific collaborations often developed subsequently , Food and Agricultural Organization , US AgenDuring the research projects, SEPRL scientists visited their foreign counterparts in Russia, Kazakhstan, and Ukraine 32 times. SEPRL scientists also hosted 30 collaborators for scientific visits involving research and training. Under the auspices of the projects, SEPRL and foreign collaborators participated in over 25 international conferences in the US, Russia, Ukraine, South Africa, Spain, Germany, China, Latvia, the United Kingdom, and Thailand. In addition to the research projects, from 2008 to 2010, SEPRL provided training on molecular techniques to detect AIV and NDV to 57 scientists from 21 countries. Additional informal collaborations with scientists from Israel, Bulgaria, Nigeria, Tanzania, and Mexico have added to the body of knowledge on AIV and NDV epidemiology. Through training and collaborative research efforts, SEPRL has developed an extensive network of scientists around the world working on AIV and NDV.The initial objective of the scientific proposals between SEPRL and the collaborating laboratories included increasing the number of surveillance samples obtained from commercial and domestic poultry species, and also wild birds. Scientists from the participant laboratories processed these samples together with SEPRL scientists, identified and characterized the strains of NDV obtained. Subsequent testing of molecular diagnostic techniques documented if routinely used molecular assays were able to detect all of the viruses isolated. Additional characterization of isolates, such as pathogenesis studies in chickens, vaccine studies, or phylogenetic sequence analysis was performed depending on the scientific interests or industry concerns. The objective of the training was to prepare foreign scientists to be able to accurately and promptly detect vNDV and to identify what avian species the viruses are likely to be obtained from. Those skills were considered to be critical for preventing, containing, and controlling ND outbreaks. Furthermore, efforts were made in promoting safe, secure, and responsible use of biological materials that are at risk of accidental release or intentional misuse as the prevention of accidents improves the quality of life for people from all the countries involved.NDV of low virulence, also known as lentogenic NDV, are widely distributed worldwide and are present in multiple avian species that may be in contact with poultry. Lentogenic viruses are used as vaccines to prevent mortality and clinical disease from vNDV infections in poultry. However, some lentogenic strains produce respiratory infections that decrease productivity in poultry, and have the potential to become virulent upon mutation of the cleavage site of the fusion protein gene. The nucleotide sequence of the fusion gene is used to classify NDV strains into genotypes and the cleavage site sequence of the fusion protein of NDV is the accepted OIE identifier of virulence. Strains that have three or more basic amino acids at positions 113\u2013116 with a phenylalanine at position 117 are by definition virulent \u201310. As mA collaboration project with the National Scientific Center Institute of Experimental and Clinical Veterinary Medicine, Kharkiv, Ukraine was initiated to study the geographic distribution, wild host species distribution, and ecological factors affecting virus transmission of avian paramyxoviruses in Ukraine. Wild-bird surveillance was conducted in Crimea, Kherson, Zaporizhia and the Donetsk regions of Ukraine. The Black and Azov Sea regions are part of an intercontinental (north to south and east to west) flyway, and the similarity of the NDV strains isolated from these regions with other NDV from Northern Europe and Africa confirmed the importance of sampling birds in these regions for the early detection of viruses transported by wild birds .n\u2009=\u20099), APMV-4 (n\u2009=\u20094), APMV-6 (n\u2009=\u20093), and APMV-7 (n\u2009=\u20094) (Surveillance for hemagglutinating (HA) avian paramyxoviruses was conducted during 2006\u20132011 through different seasons of the year on 6,735 wild birds, representing 86 species, from 8 different orders. The presence of HA positive viruses in oral and cloacal swabs was obtained and the serotypes of the APMV were identified by hemagglutination-inhibition tests. The APMV obtained from swabs were serologically characterized and determined to belong to different serotypes as follows: APMV-1 ( (n\u2009=\u20094) . SurprisAs a result of an international collaboration that included the US Geological Survey at the Alaska Science Center in Anchorage, the Southeastern Cooperative Wildlife Disease Study group of The University of Georgia, Athens, GA, USA, the Research Center for Animal Hygiene and Food Safety, Obihiro University of Agriculture and Veterinary Medicine in Inada, Hokkaido, Japan, and the State Research Center of Virology and Biotechnology \u2018VECTOR\u2019, Novosibirsk Region, Koltsovo, Russia, the genetic diversity of APMV-1 isolated from migratory birds connected with Alaska and the continental US was studied . Swabs sAnalysis of the fusion protein sequence data revealed that none of the putative amino acid sequences for the fusion protein cleavage sites were consistent with those of previously identified virulent viruses. Besides the fact that five isolates of genotype I of class II formed a monophyletic cluster exhibiting previously unreported genetic diversity, which met criteria for the designation of a new sub-genotype, the most significant finding of this study was the close genetic relationship among selected isolates from wild-bird isolates from widely divergent geographic location. Close relationships were found among viruses of class II, with Russian NDV strains closely related to North American viruses (class II sub-genotypes Ib and Ic). More specifically NDV strains from Alaska (US) and Japan were related to NDV from Maryland (US), suggesting multiple opportunities where birds from different areas were exposed to each other\u2019s viruses. The relatedness of these viruses provided indirect evidence for possible intercontinental virus spread by migratory birds. Furthermore, the close relationship between NDV from class II genotype I, sub-genotypes Ib and Ic, confirmed that migratory bird movement is one of the possible mechanism for the redistribution of NDV strains . Due to The epidemiological factors responsible for the maintenance and spread of vNDV strains are largely unknown. It is suspected that vNDV may persist in vaccinated animals, however, repeated isolations of vNDV strains in wild birds also suggests the existence of natural reservoirs in birds species that either might not be susceptible to disease or may be partially resistant, such as parrots, cormorants and pigeons. Evaluating surveillance samples of domestic poultry species along with samples from wild-bird populations geographically surrounding them is critical for completely understanding the epidemiology of ND.The BEP collaborations between SEPRL and Pakistan involved two departments of the University of Veterinary and Animal Sciences, in Lahore; 1) Quality Operations Laboratory and (2) the Pakistan Institute of Biochemistry and Biotechnology, and another institution, the Poultry Disease Diagnostic Laboratory in Gakkhar, Gujranwala, Punjab. Efforts were focused on epidemiological studies designed to identify and characterize circulating strains of NDV in Pakistan. The first BEP collaboration with Pakistan characterized eight vNDV strains isolated from the years 1974, 1995, and 2004 through 2008 . Besides Quality The majority of the remaining Pakistani strains grouped with variants of NDV found in pigeons from genotype VIb, often called pigeon paramyxovirus-1 (PPMV-1). PPMV-1 are virulent by definition since they contain three or more basic amino acids at positions 113\u2013116 and a phenylalanine at position 117 of the fusion protein cleavage site and have an ICPI of equal to or greater than 0.7, thus are reportable to OIE has been gradually replaced by new viruses in some countries of Asia and the Middle East, these older viruses of VIId have continued to circulate worldwide. Three viruses isolated from chickens in Ukraine between 2003 and 2013 have been classified as members of sub-genotype VIId. Interestingly, these viruses resembled NDV isolates from backyard poultry in Bulgaria from 2006 and 2007 (unpublished data). These viruses were closely related to isolates from China from 2003 to 2007 and Serbia from 2007, further providing evidence for the distribution patterns of vNDV.113-R-Q-R/K-R-F-117) and ICPI values ranging from 1.05 to 1.87 .Thus, the evidence suggests that the simultaneous evolution of vNDV strains from multiple genotypes has continued in different locations and different hosts since the first vNDV were identified in 1926. However, increased surveillance, and prompt epidemiological characterization of new strains circulating in developing countries funded by BEP and other international efforts have allowed a better understanding of the evolution of vNDV and has increased awareness that ND is a global problem.One of the goals of the BEP collaborations was the evaluation of current diagnostic methods against new emerging strains of NDV. The constantly developing network of laboratories in different countries around the world, collaborating on the control of the ND, resulted in the increasing number of samples obtained from both poultry and wild birds. Thousands of collected specimens where tested by various serological, virological, and molecular methods. As a result, more than 350 NDV strains were isolated and most of them have been further studied and characterized. Most currently utilized rapid diagnostic methods based on rRT-PCR were effective in detecting ND viruses. The L-TET rRT-PCR designed to detect class I APMV-1 viruses and multn\u2009=\u200952) and class II (n\u2009=\u2009135) , 27 (unpNewcastle disease represents an international problem and a significant threat to poultry industries worldwide. The existence of a large number of countries with endemic virulent ND circulating in poultry and wild birds, the capacity of viruses for rapid intercontinental spread, the ability of viruses to gradually change, and the potential use for bioterrorism, require the development of more internationally funded epidemiological and veterinary research programs. The BEP collaborative projects have effectively contributed to the understanding of the threat and to the development of better tools to identify and characterize this agent.PM, KD, and CA defined the theme of the manuscript. All authors contributed on the data collection, writing of the manuscript and editing the manuscript. KD, PM, and DW-C created the tables. KD created the figure. DW-C, KD, and CA designed primers. All authors have seen and approved the manuscript.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Sarcopenia and muscular dystrophy are both characterized by the loss of muscle mass and increased intramuscular fibrosis. The two conditions also share several pathophysiological mechanisms, including mitochondrial dysfunction, increased apoptosis, abnormal regulation of autophagy, decline in satellite cell function, increased generation of reactive oxygen species, and alterations of signaling and stress response pathways. Basic science researchers and clinicians working in the areas of sarcopenia and muscular dystrophy in human and animal models contributed to this research topic may well serve that purpose -dependent signaling , IBM with Paget\u2019s disease of bone and frontotemporal dementia (IBMPFD), and Krause, . MutatioThe five following contributions explored clinical aspects and evaluation methods. Harris-Love et al. provide Since a distinction between normal age-related weakening of muscle strength and clinically significant muscle disease is not always obvious, the correct diagnosis is easily missed. Palmio and Udd performeThe quantitative and qualitative domains of sarcopenia concur to the development of the clinical phenotype, dominated by muscle weakness, poor balance, and slow gait speed. This clinical picture shows substantial overlap with that of physical frailty , nutritional intervention, and physical exercise were discussed.The possibility of counteracting the age-related muscle decline was assessed through electrical stimulation (ES) of the thigh muscles (Kern et al., The origins of sarcopenia are multifactorial and only partly understood. However, protein-energy malnutrition is a well-known cause of muscle loss in advanced age (Calvani et al., Besides the optimization of nutrition, engagement in regular physical activity is widely recognized as an effective measure for preventing and treating sarcopenia (Landi et al., The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Evidence-based, expert-driven, practical statements improve quality and effectiveness of the diagnostic and therapeutic process of patient care. Although the effectiveness of physiotherapy treatment strategies in ICU patients has been described, statements or guidelines of physiotherapy for ICU patients are not available . GuideliFor the development of this evidence statement, we used the EBRO method, as recommended by the Dutch Evidence Based Guideline Development Platform . This meThree expert-based relevant clinical questions were formulated within the physiotherapy clinical reasoning process and were classified according to the International Classification of Functioning, Disability and Health. In a systematic literature search, 129 studies were identified and assessed for methodological quality and classified according to the level of evidence. The final Evidence Statement consisted of recommendations for physiotherapy in ICU patients including safety criteria, a core set of instruments to assess impairments and activity restrictions and effective interventions.The Evidence Statement for physiotherapeutic diagnostics and intervention in ICU patients will contribute to the quality of clinical practice by supporting the clinical decision-making process."}
+{"text": "The circulation of poor-quality medicines continues to undermine the fight against many life-threatening diseases. Anti-malarial medicines appear to have been particularly compromised and present a major public health threat in malaria-endemic countries, negatively affecting individuals and their communities. Concerted collaborative efforts are required from global, regional and national organizations, involving the public and private sectors, to address the problem. While many initiatives are underway, a number of unmet needs deserve urgent and increased multisector attention. At the global level, there is a need for an international public health legal framework or treaty on poor-quality medicines, with statutes suitable for integration into national laws. In addition, increased international efforts are required to strengthen the governance of global supply chains and enhance cooperation between national medicine regulation authorities and law enforcement bodies. Increased investment is needed in innovative technologies that will enable healthcare teams to detect poor-quality medicines at all levels of the supply chain. At the regional level, a number of initiatives would be beneficial\u2014key areas are standardization, simplification, and reciprocal recognition of registration processes and development of quality control capacity in regional centres of excellence that are better aligned with public health needs; improved surveillance methods and creation of a framework for compulsory and transparent reporting of poor-quality medicines; additional support for national medicine regulation authorities and other national partner authorities; and an increase in support for regional laboratories to boost their capabilities in detecting poor-quality medicines. It is vital that all stakeholders involved in efforts against poor-quality anti-malarial medicines extend and strengthen their actions in these critical areas and thus effectively support global health development and malaria elimination programmes. In 2015, an estimated 214 million malaria cases occurred globally, causing approximately 440,000 deaths . Su. Su36]. n Center , 70.TablEnforcement of drug regulations is another area in which collaboration is essential. National-level action against deliberately falsified medicines requires NMRAs to conduct collaborative investigations with police and customs. Operation Storm I and II, conducted in 2008 and 2009 in Cambodia, Indonesia, Laos, Myanmar, Singapore, Thailand, and Vietnam, offered an example of this sort of multisector collaboration. Coordinated by WHO and INTERPOL, these operations involved a synergistic partnership between customs authorities, police, NMRAs, and laboratories in participating countries . EncouraThe Global Fund has established a Joint Interagency Task Force (JIATF) to pro-actively engage with NMRAs and law enforcement authorities, and to provide information on the circulation of falsified medicines , training, and analytic technologies . SupportAction is needed at both the international and national levels to strengthen laws and law enforcement with regard to both falsified and substandard medicines. There have been calls for an international treaty, founded on considerations of public health , to define and differentiate in law the different forms of poor-quality medicines, provide a framework for criminal prosecution (commensurate with the relative seriousness of the offences and intentions of the perpetrator), and harmonize regulatory standards , 18. TheAt the national level, Attaran , 74 receIn 2013, the United Nations urged all states to establish national health and regulatory infrastructures and domestic management capacities to ensure that all citizens have access to medicines that are affordable, safe, efficacious, and of good-quality, and for the international community to continue to assist in achieving this goal . The WHOAccess to good-quality medicines is an essential human right and a top priority in the global fight against many life-threatening diseases including malaria . The coninternational and national political commitment and financing to drive these and other measures necessary to ensure access to quality medicines and thereby protect public health.Confer sustained international, public health-orientated legal framework or treaty on poor-quality medicines, with statutes integrated into national laws.Form a more comprehensive international efforts to strengthen governance of global medicines supply chains, harmonize regulatory standards and related procedures, and facilitate international cooperation between NMRAs and law-enforcement bodies.Provide further regional centres of excellence with common registration documentation, procedures, and decision-making procedures that are better aligned with public health needs.Develop harmonization of registration processes in Nationally, develop NMRAs that are adequately prioritized, resourced, structured, and trained to allow them to perform all regulatory functions in collaboration with the other national partner authorities.globally and nationally to support anti-malarial initiatives, particularly the detection of poor-quality medicines at all levels of the supply chain, and track-and-trace technologies that ensure a valid product from the manufacturing facility to the consumer.Invest in innovative technologies global and regional support to increase the number of prequalified standardized reference laboratories that can detect poor-quality anti-malarial medicines and also drive the validation and scaling-up of new field technologies for surveillance and analysis, particularly in malaria-endemic countries via appropriate training and resourcing.Arrange specific National and regional surveillance to be linked to effective routine and transparent reporting of incidents followed by an immediate withdrawal of products in the case of major findings by national authorities. Reporting of events should be made compulsory and a data-sharing policy involving public and private sectors, patient representatives, academics, non-government organizations, and international bodies should be developed accordingly.Given the current situation, urgent action is required by the international community across eight key areas:While it is not the intention of this publication to allocate responsibilities to defined organizations and initiatives, questions on strategic roles must be discussed and clearly assigned for future coherent actions. These eight key areas are considered as the priorities for all stakeholders, including the scientific and medical community and health policymakers, and the joint actions of these groups will be critical in driving forward effective malaria elimination programmes and global health development.The continued circulation of poor-quality anti-malarial medicines poses a significant threat to global advances in combating malaria. There are many ongoing initiatives designed to address different aspects of the problem; however, it is imperative that key unmet needs are addressed with urgent multisector action. The role of the international community is vital in extending and strengthening actions across eight crucial areas and reinforcing the fight against malaria."}
+{"text": "Pre-labour Rupture of Membranes (PROM) is an important cause of maternal and fetal morbidity and increased rate of cesarean section delivery.The aim of this study is to investigate the clinical characteristics, PROM-delivery interval, mode of delivery, and early maternal neonatal outcome among pregnant patients presenting with pre-labour rupture of membranes.This prospective case control study is implemented at the Obstetric and Gynecology Clinic of the University Clinical Center of Kosovo. The study included 100 pregnant patients presenting with prelabour rupture of membranes of which 63 were primigravida and 37 patients were multigravida.The incidence of cesarean section in this study is 28 % and the most common indications for cesarean delivery were fetal distress, malpresentation, cephalopelvic disproportion, and failed induction. The most common maternal complications in this study are chorioamnionitis, retained placenta and postpartum hemorrhage. Neonatal infectious morbidity was present in 16 % of cases.PROM is a significant issue for obstetricians and an important cause of maternal and neonatal morbidity and increased rate of cesarean section delivery. Spontaneous rupture of membranes (ROM) is a normal component of labour and delivery , but theThe aim of this study was to investigate the clinical characteristics, PROM-delivery interval, mode of delivery, and early maternal neonatal outcome among pregnant patients presenting with pre-labour rupture of membranes in Republic of Kosovo.This prospective case control study was implemented at the Obstetric and Gynecology clinic of the University Clinical Center of Kosova and included 115 pregnant patients. This study was submitted and approved by the Ethical Review Committee of the University Clinical Center of Kosova and is in adherence to the laws and regulations of the country in which the research was conducted.Inclusion criteria for participant eligibility included that women were between 28-41 weeks of gestational age, not on either antibiotic or corticosteroid treatment, and experienced pre-labour rupture of amniotic membranes were assessed for eligibility. Women were excluded (N = 15) who had hypertensive disorders, diabetes mellitus, fetal malformations or other co-morbidities. The study was thus conducted on 100 women who met study eligibility criteria. Study participants were divided into two groups according to their gestational age at the time of rupture of membranes: 1) Term PROM with gestational age \u2265 37 weeks of gestation (69 cases), and 2) Pre-term PROM with gestational age 28-36 weeks+6 days (31 cases).After implementing informed consent process a detailed patient history and examination was performed and confirmation of the diagnosis of rupture of membranes was documented. The documenting of the rupture of membranes was done by sterile speculum examination confirming the pooling of amniotic fluid in the posterior vaginal fornix or/and direct visualization of fluid leakage from the cervical canal. A questionnaire and evaluation form was used to collect data at admission. Demographic data, clinical characteristics and data covering PROM \u2013delivery interval, mode of delivery and maternal neonatal outcome were recorded and compared between the two groups. Total hospital stay was also recorded and analyzed.A total of 100 patients with PROM were analyzed in this study. Demographic data, obstetrical risk factors for PROM respectively previous PROM, previous abortions and smoking in pregnancy are presented in The clinical characteristics of investigated patients with PROM are presented in Mode of delivery and maternal- neonatal outcomes are presented in The cesarean section rate was 28 % (N = 28). Comparison of the cesarean section rate between the Term Group and the Preterm Group did not show any significant statistical difference. Neonatal infectious morbidity was present in 16% (N = 16) of cases. Out of the N = 16 neonatal infection cases, 6 of them were in the Term Group and 10 were in the Pre-Term Group, which is a statistically significant difference (p = 0.003). Main maternal complications were chorioamnionitis, postpartum haemorrhage, and retained placenta. Both Term and Pre-Term groups showed similar rates of maternal complications (p = 0.680).Pre-labour rupture of membranes remains one of the important problems in obstetric practice. The etiology of PROM is multi-factorial and in some cases yet unclear. Infection is one of the exogenous etiologic factors thought preventable in some cases with proper antenatal screening and treating of genito-urinary infections. Management of pregnancies with pre-labour rupture of membranes varies depending on gestational age and obstetric status. Recent clinical trials support immediate labour induction in pregnant woman with PROM at term in absence of other maternal and fetal contraindications. Management of Pre-term PROM is more complex and carries risk of prematurity and other related fetal complications.Maternal complications, increased rate of operative delivery, increased rate of neonatal morbidity and mortality in pregnancies with PROM are reported in the literature, and PROM is also more frequent in developing countries. This study was conducted with the aim to evaluate these characteristics, mode of delivery and outcome of pregnancies with pre-labour rupture of membranes in a local setting. This study included one hundred patients of which 63 were primigravida and 37 patients were multigravida. Our findings suggest higher incidence of PROM in the primiparous than in the multiparous patients. The participants in this study had a wide variation in age, from 17 years to 37 years.The literature reports that PROM is associated with an increased risk of cesarean delivery . The resIn this study, fetal distress, malpresentation, cephalopelvic disproportion, and failed induction were the most common indications for cesarean delivery. Two of the 28 cesarean sections performed in this study were done so on the request of the mother. Of the studied cases maternal complications were present in 8% of cases. The most common maternal complications were chorioamnionitis, retained placenta and postpartum hemorrhage. There was no statistically significant different in maternal complication between the Term and Pre-Term PROM groups.Neonatal infectious morbidity was present in 16 cases. Of these cases, observed neonatal infectious morbidity was statistically significantly higher (p = 0.003) in the Pre-term PROM group (62.5 compared to Term PROM Group (37.5 %). In addition to the risk of prematurity the preterm infants of pregnancies with pre-labour rupture of membranes are at higher risk of infectious morbidity.In conclusion, pre-labour rupture of membranes remains an important cause of maternal and fetal morbidity and increased rate of cesarean section delivery. Postpartum haemorrhage, retained placenta, and chorioamnionitis are the most common maternal complications. Neonatal infection related to PROM is also an important factor of neonatal morbidity especially in pre term born infants. Fetal distress, malpresentations, cephalopelvic dispro-portion and failed induction are the most common indications for cesarean section delivery in pregnancies with pre-labour rupture of membranes. The results in this study indicate PROM is a significant issue for maternal and neonatal health in Kosovo. Future studies are warranted to improve maternal-neonatal outcomes."}
+{"text": "There are currently many changes taking place in the health care system in the United States. Major transformations occurring in primary care settings strive to improve efficiency and effectiveness of health promotion and prevention activities, coordination of patient care, and management of chronic diseases. Team-based care is a major component of primary care redesign.The purpose of this study was to gain an in-depth understanding of how primary care practices in the United States are implementing team-based care. The study focused on understanding team-based care approaches, challenges to implementation, and successful strategies.A multidisciplinary research team used qualitative research methods to conduct in-depth case studies of eight primary care practices in various stages of practice transformation. The research team collected data from practices over a sixteen-month period using on-site interviews and structured telephone questionnaires (N=51), observation, and document review. In addition, key informant interviews were conducted with sixteen (N=16) leaders of primary care delivery organizations across the United States to obtain detailed information on team-based care models, such as team composition, roles and responsibilities of team members, and how teams function to meet the needs of their patients.The composition of teams and team member functions vary greatly across health care organizations. Team members typically include one or more providers , registered nurses (RN) or licensed practical nurses (LPN), medical assistants (MA), and administrative staff. In some settings teams include pharmacists, behavioral health specialists, social workers, community health workers, patient navigators and/ or care coordinators. Many organizations recognize the patient as an important member of the team.Organizational culture, values set by practice leaders, and other factors influence implementation of team-based care. Successful strategies for implementation include: leadership support and commitment, a multidisciplinary design and implementation team, careful review and redesign of processes, communication through formal policies and procedures and regular team meetings, and collection and review of performance data. Culture for team-based care models center on shared values and respect for individual team members\u2019 skills and contribution.The future of primary care in the United States will be characterized by many models of care that incorporate different types of health care professionals. Team-based care is a promising method for improving care coordination, medication management, patient education and self-management, and increasing the delivery of preventive services. Team-based care models may also improve productivity and boost employee morale."}
+{"text": "The task force recommendation is based on strong evidence of effectiveness in 1) decreasing the prevalence of tobacco use, 2) increasing cessation and use of available services such as quitlines, and 3) decreasing initiation of tobacco use among young persons.Mass-reach health communication interventions target large audiences through television and radio broadcasts, print media, out-of-home placements , and digital media to change knowledge, beliefs, attitudes, and behaviors affecting tobacco use. The Community Preventive Services Task Force recommends mass-reach health communication interventions to reduce tobacco use and has posted new information about its systematic review at Established in 1996 by the U.S. Department of Health and Human Services, the task force is an independent, nonfederal, unpaid panel of public health and prevention experts whose members are appointed by the Director of CDC. The task force provides information for a wide range of decision makers on programs, services, and policies aimed at improving population health. Although CDC provides administrative, research, and technical support for the task force, the recommendations developed are those of the task force and do not undergo review or approval by CDC."}
+{"text": "Juvenile idiopathic arthritis is a heterogeneous group of chronic inflammatory diseases with high risk of progressive articular damage. Clinical examination is the basis for assessing of the affected joints. Modern radiological techniques provide additional important information about the status of the damaged joints, allow the identification of subclinical inflammation.To investigate the additional capabilities of assessing local activity of finger joints of the hands and wrists in patients with different types of JIA by the modern methods of radiology diagnostic of articular pathology (magnetic resonance imaging (MRI) and ultrasonography (US)) in comparison with clinical research.20 patients with JIA were studied. Mean age was 12,3 years . Mean disease duration was 21,2 months (range 8-61). On clinical evaluation recorded the tenderness/pain on motion, swelling, limitation of movement. MRI (ESAOTE O-Scan) and US assessment of fingers and wrists joints was performed with the main focus of research on the signs of local activity: MRI - the presence of fluid in the joint cavity, US - the presence of joint effusion, synovial hyperplasia, power Doppler signal. We compared the results of clinical examination and radiology diagnostics.On clinical examination, synovitis was detected in 103 finger joints of the hands, in 9 wrist joints. On MRI and/or US synovitis was identified in 145 of finger joints of the hands, 13 wrist joints. Thus, by radiological methods subclinical activity was detected in 42 (28.9%) of finger joints of the hands, 4 (30.7%) - of wrists. Of them, 7 joints of the fingers and 1 of the wrists revealed a significant degree of activity on MRI and/or US, including a pronounced increase of vascularization of the synovial membrane (by means of power Doppler).In 20 finger joints clinically indicated only the presence of pain. Of them, in 6 joints revealed clear signs of activity on US: in 4 joints - small or moderate severity; in 2 joints - significant changes .In 2 patients the signs of synovitis associated with manifestations of dactylitis.In the studied group of patients with different subtypes of JIA, the use of MRI and ultrasound possible to detect subclinical synovitis in most patients. The use of modern radiological methods in patients with JIA can verify the exact local activity, improves detection of subclinical synovitis.None declared."}
+{"text": "Spermatogenesis is a complex process of male germ cells proliferation and maturation from diploid spermatogonia, through meiosis, to mature haploid spermatozoa. The process involves dynamic interactions between the developing germ cells and their supporting Sertoli cells. The gonadal tissue, with abundance of highly unsaturated fatty acids, high rates of cell division, and variety of testis enzymes results very vulnerable to the overexpression of reactive oxygen species (ROS). In order to address this risk, testis has developed a sophisticated array of antioxidant systems comprising both enzymes and free radical scavengers. This chapter sets out the major pathways of testis generation, the metabolism of ROS, and highlights the transcriptional regulation by steroid receptors of antioxidant stress enzymes and their functional implications. It also deals with of the advantages of the system biology for an antioxidant under steroid control, the major selenoprotein expressed by germ cells in the testis, the phospholipid hydroperoxide glutathione peroxidase (PHGPx/GPx4) having multiple functions and representing the pivotal link between selenium, sperm quality, and species preservation. Spermatogenesis appears to be a fairly conserved process throughout the vertebrate series. The balance between spermatogonial stem cell self-renewal and differentiation in the adult testis grants cyclic waves of spermatogenesis and potential fertility. These replicative processes imply a highest rate of mitochondrial oxygen consumption and reactive oxygen species (ROS) generation. Enzyme complexes of the respiratory chain of the oxidative phosphorylation, localized on the crests of the mitochondria, as the xanthines, the nicotinamide adenine dinucleotide phosphate (NADPH) oxidase and cytochrome P450, represent a source for a variety of ROS. As known, ROS are free radicals and/or oxygen derivatives that include superoxide anion, hydrogen peroxide, hydroxyl radical, lipid hydroperoxides, peroxyl radicals, and peroxynitrite. They have a dual role in biological systems, both beneficial than harmful depending on their nature and concentration as well as location and length of exposure . In this2O by glutathione peroxidase (GPx) or glutathione-S-transferase (GST) . The SODse (GST) , 6. In ase (GST) .In vertebrates, the spermatogenesis is controlled by a complex network of endocrine, paracrine, and autocrine signals \u201310 Recenin vivo, testosterone promote the expression only, as a consequence of the induction of spermatogenesis (The maintenance of a high redox potential is a prerequisite to maintain the reproductive systems in a healthy state . Reproduogenesis . The stuogenesis , suggestogenesis , 32.The overall objective of our mini-review was to highlight the beneficial and detrimental role of ROS that comparatively determine and influence the cyclic waves of spermatogenesis and the species preservation.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "The Materials Science and Engineering Laboratory (MSEL) of the National Institute of Standards and Technology (NIST), the Office of Industrial Programs of the Department of Energy (DOE), and the American Iron and Steel Institute (AISI) co-sponsored a Workshop on Intelligent Processing for Primary Metals held at NIST on August 29\u201330, 1989. Attendance was by invitation and the more than 80 participants were primarily senior technical staff and managers from steel, aluminum, and copper companies.Although the United States is a leading contributor to the world\u2019s materials science base, it is beginning to lag in the cost-effective implementation of this knowledge. U.S. industry does not enjoy leadership in the introduction of new materials technologies into consumer products, as it does in defense systems. Other nations have initiated government-industry programs aimed at the development of advanced processing technology. Advanced manufacturing techniques increasingly demand materials of greater reliability and uniformity at competitive cost. Specific demands for properties and performance can be met by control of the processing of the material from synthesis or raw material production to forming/finishing.Such process control, or \u201cIntelligent Processing of Materials\u201d (IPM), is based on four elements: a process model that relates specific materials properties at each stage of the processing to the final properties; sensors (measurement technology) which can measure the appropriate materials properties in real-time during processing; materials property data which must be coupled with the real-time measurements in the process model; and rapid computational capability for incorporation of sensor data, process model evaluation, and process variable control into an integrated, automated control strategy. The IPM concept differs greatly from conventional automated materials processing. In conventional practice, only the process variables are automatically controlled to pre-set values which, nevertheless, still allow the microstructure and properties of the material to deviate significantly from the desired values. A critical feature of intelligent processing is the shift from off-line measurements on finished products to on-line measurements in real-time to control processing.The past 5 years have witnessed extensive advances in the enabling technologies needed for intelligent processing of materials. These include: advanced sensors for on-line monitoring of material and process parameters, the knowledge base and materials characterization techniques to develop process models relating process parameters to material properties, and hierarchical computer control strategies for implementing artificial intelligence/expert systems concepts. Several recent national programs have been initiated to integrate elements of these advances to control the processing of advanced materials such as gallium arsenide crystals, powder metals, and composites. Similar opportunities now appear to exist in the primary metals industries.The goal of this industry-led workshop was to highlight the recent advances in sensing, modeling, and process control, to identify areas of need in the primary metals industries, and to develop a strategy for implementation of research results. Industry, university, and government participants assessed information provided by researchers and operating staff from industry to develop a research agenda for coupling the advancing state of materials processing in the primary metals industries.The genesis of this workshop may be traced to two events. First, the signing into law in late 1988 of the Steel and Aluminum Energy Conservation and Technology Competitiveness Act that authorizes DOE and NIST to carry out coordinated programs in support of the primary metals industries, primarily steel, aluminum, and copper. NIST would concentrate on providing instrumentation and measurement R&D. The second event was the January 1989 forum at Northwestern University to identify long-range research opportunities for the North American steel industry. The industry participants concluded that research opportunities could best be addressed in the context of three specific long-range development projects: direct production of liquid steel, near-net shape casting, and finishing and coating operations.To capitalize on these events, planning was initiated through a steering committee, chaired by Lyle H. Schwartz, Director, MSEL/NIST, with representatives from steel, aluminum, and copper trade associations, individual companies, the academic community, and Federal agencies. The consensus was to attempt to address the process control needs of the broad spectrum of primary metal industries and the role of intelligent processing concepts in solving these needs by focusing on three generic areas: primary metal production/refining, production of near-net shape products, and finishing/coating to final properties. Emphasis would be on future, advanced processes and technologies.The Organizing Committee, chaired by James G. Early, MSEL/NIST, was pleased to have participation by representatives of the aluminum and copper industries because the workshop structure is applicable to the processing of these metals. An overlap or commonality of process control needs is likely in some areas of processing. The success of this workshop could lead to other industries using this approach to develop process control priorities. Although the strategy was to achieve a workshop relevant to steel, aluminum and copper, the program contained a strong orientation toward steel-related issues. Since early in this decade, the steel industry has worked to develop a consensus on technical advances needed to improve traditional production practices and on identifying the future steel-making technologies. Thus, the steel industry was particularly well-positioned to play an important role and make major contributions to the workshop resulting in the strong emphasis on steel.Direct Liquid Metal ProductionNear-Net Shape CastingFinishing and CoatingThe core of the workshop was organized into three working sessions:Within these areas, the key elements of intelligent processing were stressed. The relationships between fundamentals and processing were explored through the integration of process modeling, sensor technology, and control strategies. Leading off the first day of the Workshop was an introduction to intelligent processing of materials concepts through applications to aerospace and other advanced materials followed by an overview of the process control research needs for the production of steel and aluminum. The three working sessions, responsible for Direct Liquid Metal Production, Near-Net Shape Casting, and Finishing/Coating, took place in the afternoon of the first day and the morning of the second day to permit a wide range of inputs from the participants. Coordinated presentations were given in these working sessions on the status of sensors, process models, and control approaches, the available technology, and the benefits to relevant research. After the morning sessions on the second day, a brief, verbal synopsis of the deliberations in each of the three working sessions was presented to the assembled workshop participants.Between the first and second days working sessions, Deputy Secretary of Commerce Thomas J. Murrin, spoke to the Workshop on \u201cNew Metals Technologies: Making the Government-Industry Connection Work.\u201d In his remarks, Mr. Murrin discussed the three key issues facing industry as it develops new metals technologies: the need to improve the quality of products and services; the need to take advantage of new technologies being developed overseas; and the need for continued and expanded government-industry-labor cooperation. While the metals industry\u2019s health will be determined primarily by its own efforts, there are appropriate areas in which the Federal Government can contribute. Deputy Secretary Murrin reported on a number of policy initiatives underway related to taxes and tax credits, antitrust laws, and a broad review of technology-innovation policies and programs to determine if other changes are needed.The first session was devoted to a series of invited presentations to prepare the participants in the three working sessions with the necessary background and global view needed to achieve the Workshop goal. The first speaker, W. Barker (DARPA) described the concept of intelligent processing of materials and reviewed the national programs supported by DARPA. In a companion talk, D. Backman reviewed the application of IPM concepts to advanced aerospace materials. The industry perspective was presented in the final two talks: I. Hughes (Inland Steel) \u201cLong Range Research -North American Steel\u2019s Competitive Edge\u201d; and R. Bonewitz (Alcoa) \u201cSensor, Process Models, and Control Needs in the Aluminum Industry.\u201dA. W. CrambCarnegie-Mellon UniversityJ. KorTimken CompanyCo-Chairmen:The session was organized into two parts: the first part was an information exchange between experts on sensor technology, process control, modeling, and the application of advanced computer decision making techniques, while the second part was to define and prioritize specific needs in the area of intelligent processing of liquid metals. Within each area specific needs were identified. Speakers included: J. Kor (Timken Company); P. Koros (LTV Steel Company); J. Fay ; A. McLean (University of Toronto); D. Hardesty ; C. Alcock (Notre Dame University); Y. Kim (Lehigh University); R. Guthrie (McGill University); M. Shah (IBM); and S. Ray (NIST).The sensor area was considered to be the area of highest importance and it was the consensus of the group that sensor development and implementation should be the major focus of any endeavor. Three separate groups of sensors were distinguished: continuous temperature sensors; continuous chemical sensors for liquid metal and hot, dirty gases; and, physical sensors to measure reaction intensity. The area of process modeling was identified as the second most important area for research at this time. Two separate groups of needs were outlined: Process Control Models; and In-Detail Process Models. In the area of process control there was a concern that current \u201cArtificial Intelligence\u201d techniques might not be applicable to on-line control in a broad sense; however, in certain well-defined circumstances it may be useful. In addition, it was felt that the computer science involved in process control and decision making was sufficiently rapid that a mechanism should be set up so that appropriate advances can be implemented within the industry in a reasonable time frame. Three separate groups of needs were identified: Operator Feedback and Instruction; System Integration; and Technology Transfer. A copper industry participant reported that many of the sensors discussed would also be of use to the copper industry and further identified the sensors that overlapped those needed by the steel industry.W. E. Eckhart, Jr.U.S. Department of EnergyR. SussmanARMCO, Inc.Co-Chairmen:This session was conducted in two parts. The first day was characterized by presentations made by experts in their respective fields. Each presentation generated a modest number of questions within the subject area. It is noteworthy that no process-specific problems were detailed during the first-day presentations, to the disappointment of some of the participants. The second day of this session was started by brief presentations made by individuals having hands-on experience with near-net shape casting of metal. Despite the obvious differences between the various casting methods, needs were categorized into three distinct areas: liquid metal handling, casting, and strip collection. Speakers included: M. R. Moore (USS Division of USX); R. A. Gleixner ; L. T. Shiang (Inland Steel Company); Y. Sahai (Ohio State University); H. N. G. Wadley (University of Virginia); and J. A. Walton .Eight sensors were identified as critical to the successful development of a commercial strip casting process: continuous temperature measurement of the meet; continuous temperature of the substrate surface; rapid on-line strip thickness sensing; on-line hot strip inspection system; continuous topographic sensing of substrate; liquid metal level sensor; liquid metal inclusion sensor; and liquid metal nitrogen sensor. It was recognized that each of these must be employed in a manner in which it could be actively used to control the outcome of the process, and not merely in a passive role to provide information. Attempts were made to determine the range and precision needed for each of the sensors. In many cases, the identified range was quite accurate, but the estimated precision reflected that required of the product; the sensor may require greater sensitivity. In the area of mathematical modeling, it was agreed that most models are process-specific. Nonetheless, there exist many commercially available models of the two principal phenomena involved in near-net shape casting, heat transfer and fluid flow. It was determined after considerable discussion that the industry would benefit from a comprehensive review of such models currently available, along with their respective strengths and weaknesses, and a strategy for implementation of selected models. In the area of process control, it was recognized that the overall state of knowledge of near-net shape casting makes it difficult to design a comprehensive control system at this stage of development. It was determined that it would be meritorious to undertake an intelligent process simulation project to serve as a model for the metals industry. Shortly after the close of the workshop, a participant from the copper industry submitted an analysis that summarized similarities and differences in the sensor/model/control needs for copper and steel near-net shape casting.D. WatanapongseInland SteelA. Van Clark, Jr.NISTCo-Chairmen:The session consisted of two meetings designed to facilitate interaction between national experts and industry experts. The goal of the first meeting was to understand and assess the states of knowledge in intelligent processing; namely, product/process knowledge, process modeling, sensors, integrated process control, and artificial intelligence. The product/process relationships for steel substrates and coated steel were presented along with the needs for future improvements. Subsequent presentations were in sensor development, process modeling, and advanced control. The goal of the second meeting was to address the issues and resolutions that can enhance the success of future research programs to develop and apply intelligent processing technologies. Speakers included: D. Reinbold (Bethlehem Steel); P. Southwick (Inland Steel); S. Denner ; K. Brimacombe (University of British Columbia); J. Monchalin (IMRI Canada); A. V. Clark, Jr. (NIST); L. Lowry (Jet Propulsion Laboratory); and A. Meystel (Drexel University).Although there is a wide range of sensor needs in the finishing and coating processes, five sensors were identified as having highest priority: continuous temperature measurement of strip; on-line measurement of chemical composition and phase identification in coatings; measurement of surface topography and surface chemistry of strip; measurement of lubricant film thickness; and measurement of mechanical properties/microstructure. Further attempts to prioritize among the five or to define specific ranges and accuracy of the sensors were considered inappropriate by the group because sensor requirements must be specified as an integral part of process modeling and control system development. Attempts were made, however, to estimate the developmental time for the sensors based on current understanding of available principles and technologies. In the coating processes, much work is needed to understand and model coating adherence mechanisms for a range of coating materials, steel substrates, surface morphology, and processing parameters. In addition, press performance of coated materials in terms of stampability and powdering characteristics must be studied and modeled. Engineered surfaces and microstructural engineering were cited as the important areas needing further modeling studies. Since intelligent processing involves implementation and also a wide range of multidisciplinary backgrounds, the significance of project team formation, technology transfer, designed-in safety and maintenance were discussed at length. Intelligent processing has definitive roles in the finishing and coating processes, in terms of new product and process design and on-line process control. Specific recommendations are: Develop real-time expert models for control to supplement process models; and develop implementable intelligent processing systems from hot rolling to coating, with emphasis on continuous processing.The research agenda developed at this industry-led workshop is summarized in NIST Special Publication 772, \u201cIntelligent Processing for Primary Metals.\u201d According to the participants, successful development and implementation of advanced processing concepts for the production of steel, from raw steel through finished steel products, will be enhanced through the formation of broad-based, multidisciplinary teams focusing on generalized approaches and solutions to well-defined tasks. Specific recommendations for critically-needed sensors, process models, and control strategies are reported for the three working sessions.For information on collaborative IPM research opportunities at NIST or a copy of the workshop report, NIST Special Publication 772, send a self-addressed mailing label to Dr. James Early, Materials Building, Room B309, NIST, Gaithersburg, MD 20899."}
+{"text": "Health professional mobility in Europe has become a fast-moving target for policy-makers. It is evolving rapidly in direction and magnitude as a consequence of fundamental change caused by European Union (EU) enlargement and the financial and economic crisis.Health professional mobility changes the numbers of health professionals in countries and the skill-mix of the workforce, with consequences for health-system performance. Many of the so-called pull and push factors influencing mobility of individuals are in the remit of countries and organizations. In Europe, these pull and push factors are co-determined by EU policies on free mobility, the qualifications directive and many soft-law initiatives.This presentation is reviewing the current mobility trends in Europe and provides clues on how to strengthen governance for human resources for health at European and country level. A particular reference is made to mobility monitoring, workforce intelligence, workforce policies/ strategies, skills-initiatives and coordination mechanisms across sectors and levels."}
+{"text": "Salmonella enterica typhimurium. The authors thank Dr. Claire Pearson for critical review of the manuscript.The authors thank Professor David Holden, Imperial College London, for the kind gift of GFP-Salmonella enterica typhimurium. The authors thank Dr. Claire Pearson for critical review of the manuscript and The Sir Jules Thorn Charitable Trust for their financial support.The authors thank Professor David Holden, Imperial College London, for the kind gift of GFP-The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "The Computer Systems Laboratory (CSL), National Institute of Standards and Technology, sponsored the sixteenth North American ISDN Users\u2019 Forum (NIUF) at its Gaithersburg, Maryland site on October 26\u201330, 1992. About 250 users, implementors, and service providers of ISDN technology attended the meeting. CSL collaborated with industry in 1988 to establish the NIUF to ensure that emerging ISDN applications meet the needs of users. A Cooperative Research and Development Agreement (CRDA) with industry was established in 1991 to govern the management of the forum; the CRDA now has 36 signatories from industry and academia. CSL serves as chair of the forum and hosts the NIUF Secretariat. NIUFmembership is open to all interested users, product providers, and service providers; meetings are held three times a year at various locations throughout North America.International standards for ISDN support worldwide communications for the exchange of voice, data, and image information among users, independent of any manufacturer, service provider, or implementation technology. ISDN standards are developed by the International Telephone and Telegraph Consultative Committee (CCITT) and, for North America in particular, by the Exchange Carriers Standards Association (ECSA) accredited standards committee, T1, under the umbrella of the American National Standards Institute (ANSI).ISDN standards provide a broad variety of options and parameters to meet many potential needs and applications. To ensure interoperability and terminal portability within the ISDN network and its attendant equipment, a uniform subset of options and parameters must be selected for implementation. Each application usually requires only a subset of total functionality available in the standards; for ISDN products and services to work together in a multi-vendor environment, common sets of options must be selected.To cope with this proliferation of choices and to provide practical products and services which meet the needs of users, the standards specification process must be extended to include the development of Application Profiles, Implementation Agreements, and Conformance Criteria which will promote interoperability. The NIUF addresses all of these areas.To promote an ISDN forum committed to providing users the opportunity to influence developing ISDN technology to reflect their needs;To identify ISDN applications, develop implementation requirements, and facilitate their timely, harmonized, and interoperable introduction; andTo solicit user, product provider, and service provider participation in the process.The NIUF seeks to achieve three principal objectives:The actual work of the NIUF is accomplished in two workshops: the ISDN User\u2019s Workshop (IUW) and the ISDN Implementor\u2019s Workshop (IIW). The IUW produces Application Requirements which describe potential applications of ISDN and the features which may be needed. The IIW develops Application Profiles, Implementation Agreements, and Conformance Criteria which provide the detailed technical decisions necessary to implement an application requirement in an interoperable manner. The NIUF Executive Steering Committee coordinates the activities of the two workshops.133 active applications for development of Application Profiles have been accepted;Application Profiles have been completed for 14 applications;12 Implementation Agreements have been completed; and8 Conformance Tests have been completed.Since its inception in 1988, the NIUF has achieved the following:CSL established the NIST Special Publication 823 series, Integrated Services Digital Network Technology Publications, to publish the approved Implementation Agreements, Conformance Tests, and other NIUF documents. Copies of these documents are available for sale by the Government Printing Office, (202) 783-3238 or the National Technical Information Service, (703) 487-4650.The October NIUF focused on finalizing plans for the Transcontinental ISDN Project 1992 (TRIP \u201892) on November 16\u201320, 1992, which marked the advent of National Integrated Services Digital Network . Cosponsored by the NIUF and the Corporation for Open Systems (COS), TRIP \u201892 involved 74 user organizations in 149 locations across North America as well as several international sites. National ISDN-1 is based on national and international standards and is consistent with Implementation Agreements developed by the NIUF.TRIP \u201892 Open Houses across the nation featured demonstrations of ISDN applications available to government and industry such as video/multimedia conferencing, desktop conferencing and screen sharing, LAN-to-LAN bridging, medical imaging, Group 4 facsimile, and image and large data file transfer. NIUF industry partners participating in the demonstrations at the NIST Open House site included AT&T Bell Laboratories, COMSAT, Bell Atlantic, and Northern Telecom. Also featured was a special session for about 170 government and industry executives. Speakers at this session included Robert M. White, Under Secretary for Technology, who presented a government view of national ISDN, and Irwin Dorros, Executive Vice President, Bellcore, who gave the industry perspective.A Catalog of National ISDN Solutions for Selected NIUF Applications and A Generic Model for ISDN Cost Analysis. Both documents resulted from a cross-industry team effort by NIUF members. The catalog focuses on demonstrating solutions for those applications identified as most important by an NIUF survey; most applications are satisfied with basic rate ISDN access and can be implemented using NI-1 solutions. The cost analysis document contains an ISDN checklist of both hard and soft costs and benefits. The document also includes a spreadsheet available in Microsoft Windows and MAC-based Excel, from which users can form the basis for their own customized spreadsheet for an ISDN cost analysis.Other highlights of the October meeting included a demonstration of Remote Message Retrieval Over ISDN by the Messaging and Answering Group and completion, subject to final approval at the NIUF February 1993 meeting, of two significant NIUF documents: For more information about the NIUF and its publications or to obtain conference proceedings, contact the NIUF Secretariat: Dawn Hoffman, Computer Systems Laboratory, National Institute of Standards and Technology, Building 223, Room B364, Gaithersburg, MD 20899-0001; telephone (301) 975-2937 or Fax (301) 926-9675."}
+{"text": "Juvenile arthropathy it\u2019s a term combining heterogeneous group of joints diseases in children, which are characterized by structural, morphological and functional changes of inflammatory nature and non inflammatory disorders. Chronic inflammatory process may be \"driving\" mechanism that is determine the nature of the articular lesions with specific clinical, instrumental and laboratory picture or maybe just one of the features of another pathology. Similarity of clinical and radiological picture, chronic nature of the flow, various of pathogenetic therapy and outcomes of the disease do this group one of the difficult to diagnose.To study the masks of JIA and no rheumatology pathology joint in children of Russian Federation.Clinical, serological, x-ray manifestations, ultrasound, MRI, arthroscopy data were analyzed in more then 300 children which examined in hospital department with presumptive diagnosis JIA.All children were subjected to complete rheumatology examination, and remained under our observation for a long time in order to assess the dynamic of the articular lesion. Children with classic course of JIA were appointed basic anti-inflammatory drugs . In cases when clinically atypical duration or laboratory \"mute\" of arthritis, long persistence monoarthritis and also variants with fever or destructive bones change we were applied deeper imaging methods such as MRI, arthroscopy, 3-phase osteo scintigraphy and other. Over five years were diagnosed six cases of tuberculous lesion of the joints (specific destruction of bone + biopsy), two cases of tuberculous periarthicular soft tissue (cyst formation with tyromatosis), fourteen cases of vascular anomaly , five cases of atypical localization focus of osteoid-osteoma , six cases of pigmental villous and chronic hemorrhagic synovitis of the knee and ankle joint, several cases of the skeletal dysplasia, and in rare cases of histiocytosis, malignant B-cell lymphoma, osteomyelitis and other rare bones disorders. Not one cases of the CRMO. In many cases due to this methods, we were excluded such diagnosis like tumors of the joints, different forms osteochondropathy. Such typical changing of the bones in JIA are usually degenerative nature in chronic uncontrolled inflammation.In some cases in undifferentiated arthritis, time of the diagnosis may determine the success of treatment. Any arthritis after failure of anti-inflammatory and antibacterial therapy should be questioned of rheumatic nature. Application invasive and non-invasive additional imaging methods can reduce the risk of incorrect diagnosis.None declared."}
+{"text": "Narrative approaches and storytelling are emerging as powerful health promotion tools that can spark interest, increase understanding of determinants of health, and translate complex science. A Story of Health, a multimedia e-book with continuing education credits was designed to harness the power of storytelling to increase environmental health literacy. Health professionals are a key audience. They recognize that patients may be suffering from preventable illnesses of environmental origin but often feel ill-equipped to educate individuals and families about risks associated with common exposures. A Story of Health seeks to fill this gap and help readers develop the competencies they need in order to help patients make informed choices, reduce health risks, improve quality of life, and protect the environment. Americans rate nurses and medical doctors as having the highest honesty and ethical standards of all professions. These medical professionals can play a key role in changing patterns of patient behavior and influencing public policies. The e-book provides an easily accessible method of developing environmental health competency. The multimedia format with graphical interpretations allows for quick reviews of topics or for more in-depth analysis via links to additional resources. The CE evaluations have been overwhelmingly positive. A Story of Health multimedia e-book with continuing education (CE) credits was designed to harness the power of storytelling to increase the environmental health literacy of health professionals, policy makers, and health advocates; encourage inclusion of anticipatory guidance in professional practice, and stimulate policy changes.Narrative approaches and storytelling are emerging as powerful health promotion tools that can increase understanding of determinants of health and translate complex science . Case-baA Story of Health capitalizes on the narrative approach to teaching by using fictional stories to convey how multiple environmental factors interact with genetics to affect health across the life span. The first installment of the 150-page peer-reviewed e-book, which includes chapters on asthma (Brett\u2019s story), developmental disabilities (Amelia\u2019s story), and childhood leukemia (Stephen\u2019s story), was released in 2015 and is available online without cost . Free CE credits are offered through the Centers for Disease Control and Prevention (CDC) and the Agency for Toxic Substances and Disease Registry (ATSDR). About two-thirds of the downloads are accompanied by CE registration suggesting that CE credits are an incentive for health professionals to read A Story of Health.The stories explore influences of the natural, built, chemical, food, economic, and social environments on health across the life span\u2014from conception to elder years. The individual stories reveal how these environments are further expressed through education, family structures, housing, nutrition, access to health care, social supports or stressors, and more. Collectively, these multi-level variables interact to create conditions conducive to health and wellness\u2014or vulnerability and disease. Health promoting interventions from the individual level to the policy level are highlighted to encourage action.A Story of Health\u2019s ecological approach is central to the concept of environmental health literacy, a relatively new subdiscipline that \u201ccombines key principles and procedural elements from the fields of risk communication, health literacy, environmental health sciences (EHS), communications\u2019 research and safety culture\u201d , \u201cParents of young children are intensely interested in the impact of the environment on their children\u2019s health. They may look to their pediatrician for guidance about how to evaluate news reports about potential hazards in the air, water, and food\u201d . PediatrA 2015 survey of more than 200 pediatric oncologists, fellows, and nurse practitioners also underscored the need for increased training about environmental health exposures related to cancer . AlthougA recent national online survey of more than 2,500 fellows of the American Congress of Obstetricians and Gynecologists (ACOG) also revealed that routine guidance to patients on the health effects of environmental exposures was not a high priority . AlthougA Story of Health provides an alternative method of developing environmental health competency for health care providers, as it can be easily accessed online and reviewed at the time and pace of one\u2019s choosing. The multimedia format with graphical interpretations allows for quick reviews of topics, or more in-depth analysis via links and references to additional resources. Web-based medical education matches the efficacy of more traditional forms of delivery such as face-to-face conferences and lectures Toxicity. During a 1-year period, A Story of Health CE course received more than double the registrations of one of the most popular ATSDR/CDC courses.Acquiring the knowledge and skills to counsel patients and families about the risks associated with exposure to environmental toxicants may be challenging for health care providers because of busy schedules, required continuing medical education in their specialties, and the relative scarcity of professional training about environmental health. lectures without A Story of Health describe the lives of people with different diseases, several common themes resonate throughout the e-book:Although the fictional narratives in Important environmental influences come from the natural, chemical, food, built, and social environments.Although there are exceptions, most diseases, as well as good health, are the result of complex interactions between genes and multiple environmental influences.Early-life experiences, particularly during critical windows of development, can have profound beneficial or detrimental lifelong effects, even into elder years.Preventing disease and promoting health require actions and commitments from the individual, family, community, and society, as they are all interconnected.A Story of Health team is currently developing the fourth story for the e-book on infertility and reproductive health\u2014Reiko and Toshio\u2019s Story\u2014that echo these common themes.A Story of Health is designed to convey complex concepts about multi-level influences on health through a family reunion scenario (scenario . A nesteThe fictional cases are communicated in text, illustrations, graphic images, videos, and links to additional resources and journal references. The stories include the following key concepts:Early origins of childhood and adult diseaseEpigeneticsMechanisms of actionAllostatic loadWindows of susceptibility and opportunityEffect modifiersEnvironmental justice and health disparitiesThe stories weave in relevant information about disease trends and demographics. They also include potential interventions, policy recommendations, and helpful tools, such as environmental exposure checklists, for practical application in the real world.The e-book draws content from the research of the top scientists in their fields and brings the collective expertise of the Pediatric Environmental Health Specialty Units network and the National Institute of Environmental Health Sciences Children\u2019s Environmental Health Centers into the e-book in a variety of ways.A Story of Health was developed through a cooperative effort of the ATSDR, the Collaborative on Health and the Environment, the California EPA Office of Environmental Health Hazard Assessment, the Science and Environmental Health Network, and the Western States Pediatric Environmental Health Specialty Unit. Leveraging the resources and networks of all the partners has also been an important outreach strategy.Promoting the availability of the e-book online via web sites, listservs, newsletters, YouTube presentations, and social media has been essential for reaching key audiences. A Story of Health filled a gap in their skills or knowledge, and > 89% reported they plan to apply the new knowledge to develop strategies and interventions in their practices (Currently, more than 3,300 health professionals, including physicians, nurses, and health educators, have registered for the online course. Evaluations have been overwhelmingly affirming. In an analysis of responses from users in the second quarter of 2015, > 95% indicated that ractices .With additional funding, and with new CE evaluation tools being developed by the CDC, the authors hope to conduct follow-up surveys of those who have taken the CE course to further evaluate the impact of the e-book. Use the following links:A Story of Health: http://wspehsu.ucsf.edu/for-clinical-professionals/training/a-story-of-health-a-multi-media-ebook/To download http://www.atsdr.cdc.gov/emes/health_professionals/index.htmlTo access CE registration:"}
+{"text": "Promoting child wellbeing necessarily goes beyond the clinic as risks to child health and development are embedded in the social and physical environmental conditions in which children live. Pediatricians play a vital role in promoting the health of children in the communities they serve and can maximize their impact by advocating for and supporting efficacious, evidence-based strategies in their communities.To provide a succinct guide for community pediatric efforts to advance the wellbeing of all children and particularly disadvantaged children in a community, we conducted a theory-driven and structured narrative review to synthesize published systematic and meta-analytic reviews of policy-relevant, local-level strategies addressing potent and malleable influences on child health and development. An exhaustive list of policy-relevant, local-level strategies for improving child health was used to conduct a comprehensive search of recent (1990\u20132012), English language peer-reviewed published meta-analyses and systematic reviews in the 10 core databases of scientific literature. Our review of the literature encompassed six key conceptual domains of intervention foci, including distal influences of child health and proximal influences . We examined intervention effects on four key domains of child health and development: cognitive development, social and emotional competence, psychological and behavioral wellbeing, and physical health.Published reviews were identified for 98 distinct policy-relevant community interventions, evaluated across 288 outcomes. We classified 46 strategies as meeting scientific criteria for efficacy by having consistent, positive outcomes from high-quality trials . Another 21 strategies were classified as having consistent evidence of positive outcomes from high-quality observational studies only, while 28 strategies had insufficient evidence available to assess their effectiveness based on published reviews. We did not limit the review to studies conducted in the United States, but the vast majority of them were U.S.-based, and the results therefore are most applicable to the U.S. context.Based on our synthesis of published literature on community development strategies, we provide an illustration combining a comprehensive set of evidence-based strategies to promote child health and development across a wide-range of child health outcomes. A mounting body of research has documented the social gradient in child health . ChildreGiven the multiplicity of health risks associated with social disadvantage, strategies to promote child health and wellbeing necessarily go beyond the clinic and involve community-wide policy strategies that change the broader environments in which children live. There is a growing understanding that health disparity populations are overlapping populations suffering avoidable health inequities resulting from unequal distribution of health-damaging and health-protecting exposures in daily life ,11. PoliChild-focused community development initiatives offer great potential to prevent the numerous, potentially life-long and generationally transmitted, health inequities related to SES, race/ethnicity, and neighborhood. Recent efforts in the United States include the Promise Neighborhoods program modeled Despite sizeable investments in child-focused community development initiatives and the tremendous potential of such efforts to improve social and health inequities, extant enacted policies and programs often do not reflect effective practices based on scientific studies ,16,17. IThe Promise Neighborhoods Research Consortium (PNRC), a network of prevention scientists in the U.S., created a science-based framework to guide comprehensive, community-level efforts promoting development and health among socially disadvantaged children living in distressed neighborhoods . This frIn this paper, we present the results of a synthesis of published systematic reviews or meta-analyses of six intervention domains for protecting and promoting child health. We did not limit the review to studies conducted in the United States, but the vast majority of them were U.S.-based, and the results therefore are most applicable to U.S. context. Based on our synthesis of the published literature, we provide an assessment of the current state-of-the-science regarding community development strategies that influence child health. Finally, we present an illustration of a comprehensive set of evidence-based strategies for child health as guidance for pediatricians and other child health advocates advancing local community development efforts. Scientific evidence on health promotion and risk prevention strategies is diverse, complicated, inconsistent in quantity and quality, and often inaccessible to policymakers, health care providers and other community stakeholders . Our goaWe conducted a theory-driven and structured narrative review of systematic reviews of a comprehensive set of community development strategies for child health. We limited the scope of our narrative review to those strategies that have been assessed in peer-reviewed, published meta-analyses or systematic reviews for three reasons. First, the scope of the conceptual framework guiding our work precludes exhaustive review of individual studies or newly emerging reports on prevention strategies that have yet to warrant systematic review. Second, systematic reviews represent the pinnacle of the \u201clevels of evidence\u201d hierarchy and provide the best practical method for identifying effective interventions . Third, Guided by our conceptual framework Figure\u00a0, scholarWe include summaries of effects on both primary and intermediate child health outcomes. We define primary outcomes to include any measures of cognitive development, social/emotional competence, absence of psychological and behavioral problems, and physical health among children or adolescence. We define intermediate outcomes to include measures of any of the proximal and distal influences on primary child outcomes Figure\u00a0. For exalevel of evidence on a scale of 1 to 3 for each strategy following the standards of evidence for efficacious interventions laid out by the Society for Prevention Research . Gu. Gu15]. Published systematic reviews address 98 policy-relevant strategies with 288 studied outcomes ranging from primary indicators of child health to measures of important physical and social contextual influences on child health. Less than half (46 of 98) intervention strategies meet scientific criteria for efficacy, as defined by the Society of Prevention Research by havinhttp://promiseneighborhoods.org) displays all policy briefs in a searchable format organized by domain of influence on child health and development. The Consortium is also working actively to disseminate this information to the recent Promise Neighborhoods grantees and others planning community development initiatives.Our primary objective was to organize a very large and diverse literature into a conceptually logical framework that reflects the best of current science, and succinctly summarize large bodies of scientific literature that makes clear to end-users the strength of evidence and size of estimated effects across the whole range of community changes thought to improve child health and wellbeing. Additionally, for each intervention, we created policy briefs to provide pediatricians, local-level policymakers, and other stakeholders with accessible science-based summaries to help identify policies that may effectively address child health needs in their community and facilitate community action around those issues. The Promise Neighborhoods Research Consortium website of the quality of the reviews. However, narrative literature reviews with no systematic review or meta-analytic methods were excluded from our summary. We critically evaluated the studies included in each published review, classified the level of evidence, and provided a summary of findings. No individual study can definitively answer the question of a policy\u2019s effectiveness across populations and time. Therefore, the accumulation of evidence and meta-analysis of outcomes across studies provides a more accurate assessment of effectiveness than a single study. Finally, the vast majority of studies were U.S.-based, and the results therefore are most applicable to U.S. context. Therefore, one should generalize to other countries with care, especially when considering countries that are quite dissimilar to the U.S.We present a current state of the science in order to (1) inform pediatricians and other child health advocates about policy-relevant community strategies with the most evidence demonstrating efficacy at improving primary child health outcomes, proximal influences of child health and development , and distal influences ; as well as to (2) inform scientists of community interventions that require more empirical attention to determine their efficacy at improving child health and reducing health disparities. It is our hope that continued evaluation and systematic review of child health policies and policy-relevant strategies, in conjunction with translation of the most evidence-based strategies into effective polices and practices, will lead to optimal child outcomes and minimal health disparities.The authors declare that they have no competing interests.KK, AT and AW participated in the conceptualization of the study concept and design. AD and AT participated in the acquisition of data. AT, RO, AD, KK and AW participated in the analysis and interpretation of data. AT, RO, AD and KK drafted the manuscript. KK, AW, RO and AT participated in critical revision of the manuscript for important intellectual content. KK and AT supervised the study. All authors read and approved the final manuscript.Kelli A. Komro, MPH, PhD is Professor of Health Outcomes and Policy in the College of Medicine, Associate Director of the Institute for Child Health Policy, and University of Florida Research Foundation Professor.Amy L. Tobler, MPH, PhD is Assistant Professor of Health Outcomes and Policy in the College of Medicine and Institute for Child Health Policy at the University of Florida.Alexander C. Wagenaar, PhD, is Professor of Health Outcomes and Policy in the College of Medicine and Institute for Child Health Policy at the University of Florida and Associate Director of Public Health Law Research, a national program of the Robert Wood Johnson Foundation, housed at the Temple University Beasley School of Law.Alexis L. Delisle, MS, was an Institute for Child Health Policy predoctoral fellow at the time of this work.Ryan J. O\u2019Mara, MS, is an MD/PhD student at the University of Florida and was a Research Assistant in the Institute for Child Health Policy at the time of this work.The pre-publication history for this paper can be accessed here:http://www.biomedcentral.com/1471-2431/13/172/prepubPolicy-relevant community strategies by level of evidence.Click here for filePolicy briefs for strategies by level of evidence.Click here for file"}
+{"text": "The unfolded protein response (UPR) occurs in response to endoplasmic reticulum (ER) stress caused by the accumulation of unfolded or misfolded proteins in the ER. The UPR is comprised of three signaling pathways that promote cytoprotective functions to correct ER stress; however, if ER stress cannot be resolved the UPR results in apoptosis of affected cells. The UPR is an important feature of various human diseases, including multiple sclerosis (MS). Recent studies have shown several components of the UPR are upregulated in the multiple cell types in MS lesions, including oligodendrocytes, T cells, microglia/macrophages, and astrocytes. Data from animal model studies, particularly studies of experimental autoimmune encephalomyelitis (EAE) and the cuprizone model, imply an important role of the UPR activation in oligodendrocytes in the development of MS. In this review we will cover current literature on the UPR and the evidence for its role in the development of MS. The endoplasmic reticulum (ER) is one of the largest cellular organelles in eukaryotic cells, and consists of two types, rough ER and smooth ER Kaufman, . SecretoThe PERK protein contains an ER transmembrane domain, a cytosolic kinase domain, and a regulatory luminal domain by its endoribonuclease activity to produce the active transcription factor spliced XBP1 (sXBP1). sXBP1 enhances the expression of chaperones and certain cytoprotective genes, and promotes ER expansion is a T cell-mediated autoimmune demyelinating disease of the central nervous system (CNS) is the primary animal model used in MS research that displays many of the clinical, pathological, and immunological features of MS plays a critical role in the development of MS and EAE to young adult mice induces a synchronous consistent demyelination that allows for temporally controlled activation of PERK signaling specifically in oligodendrocytes has been generated 10, elevates the level of p-eIF2\u03b1 exclusively in oligodendrocytes, significantly ameliorates the severity of EAE clinical symptoms, and attenuates EAE-induced oligodendrocytes loss, demyelination, and axon degeneration in the CNS. Oligodendrocyte loss is one of the first signs of pathological changes in EAE and can occur before demyelinating lesions are identifiable. Importantly, the low dose of AP20187 treatment significantly reduces the number of apoptotic oligodendrocytes in the CNS of heterozygous PLP/Fv2E-PERK mice before the onset of clinical disease and the formation of demyelinating lesions (at PID12). Moreover, moderate PERK activation in mature oligodendrocytes does not significantly affect the immune responses in CNS or peripheral immune system during EAE against inflammatory attacks in immune-mediated demyelinating diseases suggesting activation of the ATF6 branch of the UPR in oligodendrocytes (Lin et al., PLP1 mutant mice and that CHOP deletion exacerbates the clinical symptom and oligodendrocyte apoptosis in PLP1 mutant mice. It has also been shown that upregulation of CHOP induced by moderate PERK activation in oligodendrocytes of heterozygous PLP/Fv2E-PERK mice does not have a detrimental effect on the cells under normal or disease conditions (Lin et al., PLP/Fv2E-PERK mice with a high dose of AP20187 strongly activates PERK signaling specifically in oligodendrocytes, resulting in strong inhibition of protein biosynthesis and upregulation of CHOP in the cells. Notably, strong PERK activation inhibits the myelinating function of oligodendrocytes in young developing mice by suppressing protein translation, but does not affect oligodendrocyte viability. Intriguingly, strong PERK activation in mature oligodendrocytes of fully-myelinated adult mice had minimal effects on the function and viability of the cells (Lin et al., A large number of studies have demonstrated that CHOP, an effector of the PERK-eIF2\u03b1 pathway, functions as a pro-apoptosis transcription factor in many cell types during ER stress (Tabas and Ron, It is well-documented that the UPR influences the development of a number of human diseases, including inflammatory diseases, neurodegenerating diseases, myelin disorders, and tumors (Zhang and Kaufman, in vitro model of myelination (Lin et al., Using genetic approaches, the studies described above well-documented the cytoprotective effects of the PERK-eIF2\u03b1 pathway on both mature and remyelinating oligodendrocytes in mouse models of MS (Lin et al., The ER is essential for the biosynthesis of myelin lipids and proteins. The volume of the ER increases dramatically in the cytoplasm of oligodendrocytes during the active phase of myelination (Wollmann et al., While the actions of PERK activation in oligodendrocytes in immune-mediated demyelinating diseases have been studied extensively, the underlying mechanisms through which PERK mediates protection remain unknown and deserve further investigation. Moreover, activation of the PERK pathway has been observed in other cell types in MS and EAE demyelinating lesions, including T cells, microglia/macrophages, and astrocytes (Chakrabarty et al., For many years, the focus of MS research has been on T cell-mediated demyelination of the white matter. Recent studies, however, have shown that neurodegeneration is not only an early event but also the primary cause of chronic disability in MS (Dutta and Trapp, In summary, previous studies have demonstrated the cytoprotective effects of the PERK branch of the UPR on oligodendrocytes in models of MS. Future studies will need to assess the role of other branches of the UPR in oligodendrocytes and the roles of individual branches of the UPR in other cell types involved in MS, particularly neurons, in this disease. The knowledge gained from these studies would provide a foundation to develop therapeutic strategies that protects both oligodendrocytes and neurons in patients with MS.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Cats have been transported as human commensals worldwide giving rise to many feral populations. In Australia, feral cats have caused decline and extinction of native mammals, but their time of introduction and origin is unclear. Here, we investigate hypotheses of cat arrival pre- or post-European settlement, and the potential for admixture between cats of different invasion events. We analyse the genetic structure and diversity of feral cats from six locations on mainland Australia, seven Australian islands and samples from Southeast Asia and Europe using microsatellite and mitochondrial DNA data.Our results based on phylogeographic model selection are consistent with a European origin of cats in Australia. We find genetic distinctiveness of Australian mainland samples compared with Dirk Hartog Island, Flinders Island, Tasman Island and Cocos (Keeling) Island samples, and genetic similarities between some of the island populations. Historical records suggest that introduction of cats to these islands occurred at the time of European exploration and/or in connection with the pearling, whaling and sealing trades early in the 19th century. On-going influx of domestic cats into the feral cat population is apparently causing the Australian mainland populations to be genetically differentiated from those island populations, which likely are remnants of the historically introduced cat genotypes.A mainly European origin of feral cats in Australia, with possible secondary introductions from Asia following the initial establishment of cats in Australia is reasonable. The islands surrounding Australia may represent founding populations and are of particular interest. The results of the study provide an important timeframe for the impact of feral cats on native species in Australia.The online version of this article (doi:10.1186/s12862-015-0542-7) contains supplementary material, which is available to authorized users. The deliberate or accidental translocation of species from their native habitat to new environments by humans , 2 may tVulpes vulpes) and the domestic cat (Felis silvestris catus) . All sequence data is available on GenBank, .The microsatellite data sets supporting the results of this article are available in the Dryad repository [Dryad doi:10.5061/dryad.6t066 ("}
+{"text": "Cryptosporidium and Giardia (oo)cysts on environmentally relevant surfaces such as brushed stainless steel, formica, ceramic, fabric, and skin. Parallel experiments were conducted using clean and soiled coupons incubated under three temperatures. The die-off coefficient rates (K) were calculated using first-order exponential formula. For both parasites, the fastest die-off was recorded on fabric, followed by ceramic, formica, skin, and steel. Die-off rates were directly correlated to the incubation temperatures and surface porosity. The presence of organic matter enhanced the survivability of the resting stages of test parasites. The decay rates calculated in this study can be used in models for public health decision-making process and highlights the mitigation role of hand hygiene agents in their prevention and control.The objective of this study was to find out the impact of environmental conditions on the survival of intestinal parasites on environmental surfaces commonly implicated in the transmission of these parasites. The study was performed by incubating Enterobius vermicularis is more prevalent in temperate areas of parasites. Although with the present knowledge it is not possible to precisely define the role of environmental variables in the survival of parasites (oo)cysts, recovery of neglected enteric parasitic (oo)cysts/ova from naturally contaminated hands of children reported previously coupled"}
+{"text": "Immune reconstitution inflammatory syndrome (IRIS) is originally described in association with antiretroviral therapy (ART) for HIV infected patients. IRIS consists of a broad spectrum of inflammatory diseases, such as infectious inflammatory, neoplastic, and autoimmune diseases, that present after starting an effective ART, leading to CD4+ cells increase and plasma HIV-RNA reduction. IRIS reflects either worsening of an already-diagnosed infection or presentation of previously subclinical infection. Opportunistic pathogens include cryptococcus, mycobacterium, herpesviruses, or also auto-antigens. The paradoxical worsening of clinical symptoms as observed in IRIS is also the phenomenon of drug-induced hypersensitivity syndrome/drug reaction with eosinophilia and systemic symptoms (DIHS/DRESS). In the course of DIHS/DRESS, cytomegalovirus diseases and herpes zoster are observed coincidently with the increase in lymphocytes or rapid reduction of systemic corticosteroids. Based on the similar manifestations between IRIS and DIHS/DRESS, DIHS/DRESS can be seen in a broad context as another manifestation of IRIS. Although the mechanisms of IRIS is complex and variable, depending on the latent pathogens and shift of immune status, use of the concept of IRIS can help our recognition of various manifestations that occur in the setting of DIHS/DRESS. The understanding of IRIS may improve the morbidity and mortality rates of DIHS/DRESS."}
+{"text": "Engagement with social media, such as Facebook, Instagram, and Snapchat, may lead to negative outcomes for body dissatisfaction and disordered eating due to the appearance focused nature of the online interactions. The aim of this cross-sectional study was to examine relationships between social media photo-related activities and overvaluation of shape and weight, body dissatisfaction, and dietary restraint in adolescent girls. Participants were 101 year 7 girls who completed measures of social media use and body image and disordered eating via self-report. Significantly higher levels of overvaluation of shape and weight, body dissatisfaction, dietary restraint, and internalisation of the thin ideal were found for participants who regularly shared self-images on social media, compared with those who were not regular sharers. In addition, after controlling for media exposure and internalisation of the thin ideal, higher engagement in manipulation of self-images and greater investment in the self-images prior to sharing were associated with greater overvaluation of shape and weight, body dissatisfaction, and dietary restraint. Findings suggest that self-image related social media activities may contribute to body dissatisfaction and disordered eating and indicate important contemporary targets for social media based intervention for these problems."}
+{"text": "To the Editor: Diphyllobothriosis, infection by tapeworms of the genus Diphyllobothrium (Cestoda: Diphyllobothriidea) in 2011 and increases continuously. More than 200,000 tons of fresh or chilled fish, which may serve as source of human fishborne diseases if eaten raw or undercooked, are imported to Spain every year. The fourth largest importer is Ecuador, the sixth is Chile, and the seventh is Peru; D. pacificum, in Europe, but it is highly probable that this species can be introduced anywhere through the importation of fresh or chilled fish from the Pacific coast of South America. This has implications for food safety rules and human health risk measures taken by national health and veterinary agencies. Regarding adequate processing of clinical samples and their preservation for morphologic and genetic evaluation, we strongly recommend fixation of positive fecal samples with eggs or segments (proglottids) immediately with 96%\u201399% molecular grade ethanol for future molecular diagnosis (In the present study, we confirmed human infections with the Pacific broad tapeworm, A summary of Diphyllobothrium and Diplogonoporus cases in Spain, photomicrographs of features of diphyllobothriids, and results of testing for human-infecting Diphyllobothrium spp."}
+{"text": "Poor health systems and structures in countries affected by Ebola virus disease (EVD) have compounded difficulties in access to hospital care for Ebola patients. With this low healthcare access, individuals may be forced to seek alternative remedies for the management of EVD. One major study suggested that the transfusion of whole blood and serum from patients who had recovered from EVD reduces the risk of EVD-related fatality , with adIn the wake of the growing epidemic, it is possible that this alternative may bring new challenges such as the emergence of a black market trading of blood of EVD survivors . This maConcerns about transfusion-related transmission of HIV and hepatitis infection in the sub-Saharan African region are not unfounded. Afolabi et al. demonstrIn the face of an epidemic with a high fatality rate and low likelihood for access to quality medical care , the proMorenike O. Folayan Institute of Public Health Obafemi Awolowo University Ile-Ife, Nigeria Department of Child Dental Health Obafemi Awolowo University Ile-Ife, NigeriaBrandon Brown Department of Population Health & Disease Prevention University of California Irvine, CA, USA Email: brandon.brown@uci.eduAminu Yakubu Department of Health Planning and Research Federal Ministry of Health Abuja, Nigeria"}
+{"text": "Knowledge translation researchers in the last decade have seen a torrent of publications arguing for the central importance of organizational context in influencing implementation success. The Translating Research in Elder Care (TREC) program investigates the role of organizational context on the use of best practices, provider and resident outcomes in residential long-term care facilities (nursing homes) in three western Canadian provinces. The purpose of this presentation is to present findings from our study examining the influence of organizational context on the use of best practices by healthcare aides.We collected survey data from 36 nursing homes, 103 units and 1262 healthcare aides and used Hierarchical Linear Modeling (HLM) to assess elements of organizational context that predicted best practice use by healthcare aides. Organizational context was measured using the Alberta Context Tool (ACT).In the final models, instrumental use of best practices was predicted by age, sex, shift worked, job efficacy, belief suspension, and the contextual variables social capital, organizational slack, informal interaction frequency, unit type, and profit status; 18% of the variance was explained in the final model. Conceptual use of best practices was predicted by: English language status, job efficacy, belief suspension, intent to use research, number of information sources uses, perception of adequate knowledge, and the contextual elements leadership, feedback processes, organizational slack, availability of resources, and province; 43% of the variance was explained in the final model.Our study identifies several individual and contextual factors that play an important role in healthcare aides' use of best practices in nursing homes. This has important practical implications for designing strategies for dissemination and implementation of best practices to increase healthcare professionals' ability to practice evidence informed care to improve health outcomes.Funded by Canadian Institutes of Health Research (CIHR)."}
+{"text": "Several studies have presented morphological, biochemical and histopathological changes in the paraspinal skeletal muscle of patients with adolescent idiopathic scoliosis (AIS). Some abnormalities have been demonstrated such as an increased amount of type I fibers in the concavity and the decreased number of type II in the convexity, an increase in the intracellular concentration of glycogen and lipids, structural changes in the sarcolemma and myotendinous junction, changes in the activity muscle enzyme, an increase in intracellular calcium concentration.To evaluate the rotator muscle fibers at the apical vertebraof curves of patients with AIS by histological and immunohistochemical analysis.Cross-sectional study.Twenty-one patients with AIS submitted to surgical correction between 2,010 and 2,013 had the spinal rotator muscles biopsied in the concavity and convexity of the apical vertebra of the thoracic curve during the surgery. Serial cryosections were stained with Hematoxylin-Eosin (HE) and Sudan Red. We evaluated muscle atrophy and hypertrophy, fatty proliferation, presence of endomysial and perimysial fibrosis, presence of hyaline fibers, mitochondrial proliferation, muscle necrosis, nuclear centralization and inflammation. Two independent observers evaluated the sections.The average value of the angle of the main thoracic curve was 68\u00b0 Cobb. For analysis of non-parametric paired variables between the concave and convex side it was used the McNemar test with a significance level of 5%. The results of relative frequency and \u201cp\u201d values showed significant difference in both endomysial and perimysialfibrosis and fatty involution when compared to both sides of the apical vertebra.The paraspinal muscles at the apex of the deformity had higher involvement in the concavity when analyzing the fatty involution and fibrosis. However, both sides showed signs of myopathy, muscle atrophy through areas of necrosis and hyaline presence of fibers, mitochondrial proliferation."}
+{"text": "David Stephens and colleagues describe their experience of treating patients with Ebola virus disease at Emory University in the United States. Ebola hemorrhagic fever, or Ebola virus disease (EVD), has emerged in the last year as a global threat and humanitarian disaster for the affected countries of West Africa and has also come to the United States (US) and Europe.The treatment of the first and three subsequent US patients outside of Africa at Emory University provided a number of challenges, as well as strategic and tactical lessons that included detailed planning and team work across multiple academic and health care units, emphasizing biosafety, the importance of institutional communications, addressing unanticipated challenges such as waste management, and the logistics of working closely with governmental agencies and outside collaborators.In providing effective care for individuals, the value of mobilizing a diverse health and academic community to work collaboratively to addressing a global threat is emphasized. This includes dissemination of best practice information; providing education and training about EVD; expansion of new knowledge about the clinical course, complications, and pathogenesis of EVD; the creation of new institutional forums, and engagement in the broader policy and equity issues of contagious health threats.Zaire ebolavirus), began in Meliandou, Guinea, West Africa and soon enveloped neighboring Sierra Leone and Liberia, with cases also in Nigeria, Senegal, and Mali [Ebola hemorrhagic fever, or Ebola virus disease (EVD), is caused by a highly contagious group of enveloped, single-stranded, negative-sense RNA viruses of the family Filoviridae. The disease has historically carried 53%\u201388% mortality \u20133. In Deand Mali \u20135. WHO hospital in Liberia were evacuated from Monrovia by a specially designed air ambulance to Emory University Hospital (EUH) . Until AThe strategic and tactical lessons and challenges presented by providing care for the first and subsequent US EVD patients at Emory University provide an opportunity to share lessons that may help others. Specific clinical and immunological features and diagnostic and detailed management issues of the patients at Emory are reported separately \u201311. It iEUH is the flagship clinical care facility for Emory Healthcare, staffed by 1,221 Emory School of Medicine faculty physicians, with over 3,600 employees, 25,300 admissions, and 157,000 outpatient visits annually. The hospital has one of the highest case-mix indexes (a measure of complexity of illness treated) among the University Healthsystem Consortium (UHC)-ranked facilities. Emory had established strong programs in health care delivery, quality, infectious diseases (ID), infection control and biosafety, immunology, vaccines, and public health that were important to its ability to respond to this series of events.The Serious Communicable Diseases Unit (SCDU) , Box 1 oThe SCDU was designed to proviThe SCDU was constructed within the EUH clinical research unit. The clinical research unit has been in existence for some 60 years and supports clinical research through the National Institutes of Health (NIH)-funded Clinical and Translational Science Awards (CTSA) program. The SCDU offers on-call, highly trained staff operating under standardized, ready-to-go protocols for providing care for patients infected with highly communicable contagious diseases.While not necessary for treatment of EVD, the isolation rooms feature negative pressure air handling, 20 air changes per hour, with laminar flow and high-efficiency particulate air (HEPA)-filtering completed before the air is 100% exhausted outside of the hospital (no recirculation). General and intensive care can be provided. The SCDU was activated on two previous occasions. The first was in 2003 for a CDC worker with concern for having been infected with severe acute respiratory syndrome (SARS) in Hong Kong, China. The second was in 2005 for a CDC employee in Angola with potential Marburg virus hemorrhagic fever. While unit activation has been infrequent, intensive training in this unit to maintain a state of readiness has been continuous for well over a decade, including detailed preparation for transport of patients and the training of nurses and physicians.www.emoryhealthcare.org/ebolaprep [A virtual tour of the SCDU and videos addressing many of the most frequently asked questions, together with access to all SCDU policies and standard operating procedures (SOPs), are available on the Emory education web site: bolaprep .The ID program at EUH was built to provide expertise in hospital epidemiology, antimicrobial management, transplant infectious diseases, and clinical microbiology. For over a decade, Emory University was an active member of the NIH Research Centers of Excellence (RCE) in Biodefense and was the site for the biosafety training program for select pathogens of the Southeast Regional Center of Excellence for Emerging Infections and Biodefense (SERCEB) RCE. This particular program provided invaluable expertise, equipment, and support for the EVD effort. Emory ID and Emory Healthcare (EHC) also created the TravelWell clinic, an outpatient clinic available for assessment and evaluation of pre- and post-travelers and supporting major Atlanta corporations and the CDC. Emory\u2019s TravelWell is part of a 57-site worldwide travel network (GeoSentinel) with a 10-year database of 3,000 entries of those who either had returned ill following travel to Liberia, Sierra Leone, Guinea, or Nigeria or had just emigrated from one of those countries.The request for medical care for the initial patients came from the missionary organizations Samaritan\u2019s Purse and Serving in Mission (SIM) USA and from the patients themselves. The decision was coordinated through the US State Department and the CDC. EUH and EHC leadership made the decision to accept the patients\u2014a decision made quickly but not lightly. The decision was based on the need, confidence in the overall preparedness of EUH, and the more than a decade plus of training and preparation to address highly communicable diseases at EUH . ImportaThe SCDU medical team is led by the SCDU director, an ID trained physician who has spearheaded for over a decade efforts in establishing the protocols, training, education, and operations of the unit in conjunction with the CDC. Three other faculty members of the Department of Medicine, four additional ID physicians, two pathologists, five medical technologists, and 21 critical care nurses also support the unit.An SCDU unit director, clinical nurse specialist, and team coordinator handle logistics, organize training sessions, determine supply needs, and establish nursing schedules. Nurses provide care in 4-hour stretches to minimize donning and doffing of personal protective equipment. The overall effort has directly involved over 125 staff and support personnel.During the care and treatment of EVD patients, there were daily communications between the SCDU medical team and the CDC\u2019s Division of High-Consequence Pathogens and Pathology (DHCPP), the Division of Healthcare Quality Promotion, and the Emergency Operations Center for Ebola established at CDC, and with the US Food and Drug Administration (FDA) and other US federal agencies, as well as frequent communications with other academic units, industry, and providers in West Africa.The primary focus of training was on biosafety for all individuals who provided direct care or handled body fluids. All of these individuals received mandatory education and training, followed by strict competency verification before medical or nursing staffs were permitted to provide care for these patients.Effective and assertive communication was central to the safety of the SCDU team. Use of the buddy system was an essential element of the focus on individual and colleague safety. Because communication was so important, the team developed rules to govern direct patient care communication as well as within daily team huddles. These rules were reviewed each morning during the daily huddle and served as a platform to empower all members of the team, regardless of role, to facilitate communication and to maintain strict SOPs.The hospital support team was led by the CEO of EUH. The chief medical and nursing officers of EHC and EUH, and in particular the vice president of operations of EUH, were also heavily involved in leading the support efforts. During the care and treatment of the EVD patients, an operations team of key administrators and nursing and physician leadership met twice a day. Despite the extensive preplanning, opportunities to refine and improve both clinical and operations were noted, and all aspects of the hospital services were involved. Pharmacy, environmental services, engineering/facilities support, and pastoral care/counseling were especially important.Other ID faculty, including a pediatric ID specialist with experience in EVD, provided support for the frontline medical team. Periodic conference calls focused on support, therapeutic options in treating patients, and issues of postexposure prophylaxis, vaccines, surge planning, protocol development, and discussions of research as it related to EVD. To facilitate the necessary availability of SCDU dedicated ID providers, alternate faculty were recruited to cover the regular duties of the SCDU physicians. ID support also included contacting key national and international research leaders in EVD; evaluating, contacting, and obtaining, through outside groups, experimental vaccines and new drugs for Ebola; and communicating with the CDC, FDA, NIH, and other federal agencies, other university partners, and biotech/industry contacts, all of which were essential in the effort.The Emory Environmental Health and Safety Office (EHSO) was engaged immediately after the call for ongoing support. While clinical care settings are very different from those of labs, EHSO staff included individuals with expertise in training on Biosafety Level BSL 3 and 4 laboratory safety, which was helpful in translating to our clinical care situation. Conversations were conducted by EHSO with other national biosafety leaders in EVD. attending coverage for critical care management issues including airway management and line placement issues. Other subspecialties, such as renal medicine, were required on a case-by-case basis. The location of the SCDU away from other patient care units of EUH significantly reduced the impact on our other health care delivery and patient operations. DHCPP at CDC provided critical help to the unit for viral loads, specialized assays, and other support.10 RNA copies per ml of serum [Different outside perspectives and guidance were initially provided about the level of biosafety needed for EVD. Ebola viruses have a very low infectious dose, 1\u201310 aerosolized organisms, in nonhuman primate models and can of serum ), stool,To achieve the lowest risk to health care personnel, the highest level of biosafety was initially employed. This included MAXAIR powered air-purifying respirators (PAPRs), fluid-resistant body suits along with cover aprons, double gloves and shoe covers, and wiping down all surfaces with US Environmental Protection Agency (EPA)-registered disinfectants (no spraying) when doffing PPE. Other key biosafety SOPs developed were autoclaving within the unit for waste management, followed by disposal of regulated medical waste off-site after it had been autoclaved; decontamination; and handling of laboratory samples and waste. The consequences of transmission stressed the need for the highest level of biosafety.The importance of the EHSO office in reinforcing the prior training of personnel and monitoring the clinical staff for consistency and adherence to biosafety from training sessions to practices in real-time clinical care cannot be overemphasized. This included how to \u201cdon and doff\u201d impermeable fluid-resistant body suits, proper use of PAPRs, coordination of the disposal of waste, and the handling and transport of lab samples. EHSO also helped prepare and support the team psychologically, challenging them with spills and other incidents to practice remaining calm in the face of potential unexpected occurrences. Team engagement demonstrated the importance of melding the philosophies of clinical treatment/practice and biocontainment/biosafety. Feedback from frontline physicians, nurses, and hospital staff highlighted the contributions of EHSO to the effort and the value of the EHSO biodefense education and training expertise.Waste management for EVD is a significant hurdle. EVD results in copious amounts of vomit and diarrhea with up to 10 liters of fluid lost by patients each day. Up to 40 large \u201cbags\u201d per day of regulated medical waste were generated by our first two patients. A large-capacity autoclave was mobilized, with postautoclaved waste stored in 32-gallon leak-proof rubber waste containers in the SCDU until removal and incineration. All waste in toilets was disinfected with an EPA-registered disinfectant before flushing. Importantly, no traces of Ebola RNA on \"high-touch surfaces\" such as beds and bathrooms were detected during active care or after patient discharge prior to terminal decontamination with vaporized hydrogen peroxide.Guiding principles for communications included consistent messaging and protecting patient privacy while educating the public. Internal communications with a focus on transparency and education, within the bounds of confidentiality of medical information and protecting our patients\u2019 privacy, were vital. These included meetings with EUH hospital leadership and staff to address concerns, frequent emails and other communications with all faculty and staff at EHC and Emory, making sure instructions/checklists were in place, and facilitating the dissemination of protocols. To avoid unauthorized access to electronic medical records, a chart-warning flag was implemented. Confidentiality of medical information regulations were repeatedly stressed to all medical staff, residents, and fellows.www.emoryhealthcare.org/ebolaprep) [In external communications and interface with the media, the Emory communications teams tirelessly addressed media logistics, developed web and social media material, worked closely with governmental and nongovernmental external groups, developed talking points, and prepared the hospital and SCDU teams for communications venues. To maximize our preparedness and to address national concerns, press conferences and media interviews were conducted, and an EVD Questions and Answers document was developed and posted. The story exploded in broadcast print and social media. Over 84,000 media stories have been written linking Emory and Ebola. Emory communications created an Emory Healthcare Ebola Preparedness Protocols website (olaprep) to make The admissions heightened Ebola and other bio-threat concerns both locally and nationally. Questions about potential EVD patients began to occur immediately in our health care system and throughout the US. We developed and disseminated flow diagrams, algorithms, and SOPs for evalAs noted, a highly trained group of faculty, nurses, biosafety support, and other providers staff the EUH SCDU. While no trainees served on the direct care team, trainees benefitted from the experience of the unit and clinical experience with EVD through conferences and other education venues . An EVD \u201cMicro Vignette\u201d and other educational materials were developed for resident and fellow education. Further, ID and other specialty fellows have been integrated into the management planning for EVD patients, educated on the broader policies and procedures of the unit, are involved with the development of protocols for the management of Ebola patients who present to the Emergency Department (ED) or other clinical settings, and are educated about the collective experiences in treating the patients. In addition, a Massive Open Online Course (MOOC) \u201cEbola at Emory: Patients to Populations\u201d has been launched , an EBOLWork was initiated to better understand EVD pathogenesis and therapeutic options \u201311,15\u201319The event also led to broad faculty engagement across all parts of the institution through the creation of an Emory Ebola Task Force and Ebola Faculty and Community Discussion Forum . The TasEVD has arrived in North America and Europe and impacted us globally. Academic medical centers can be expected to be at the frontline to address EVD and other highly communicable infectious agents in the future. Our experience with EVDCommunicable infectious diseases will continue to be global threats to human health and have the potential to cause repeated humanitarian disasters.Coordination, detailed planning, and teamwork across governmental, nongovernmental, academic, and health care unitsEnvironmental Health and Safety as a key support team memberPreparedness in training, biosafety, surveillance, and communicationsDonning and doffing of PPEWaste management protocolsDecontamination and containment protocolsSpecimen handling for diagnostic testingEvaluation of provider competency in biosafetyAn organizational structure to solve unanticipated challenges and the logistics of working closely togetherThe rapid dissemination of best practice informationProviding education forums and frequent educational communications around disease transmission and riskConsistent messaging and protecting patient privacy while educating the publicExpanding new knowledge about the clinical course, complications and pathogenesis, diagnosis, treatment, and preventionEngagement in the broader policy issues of global health care inequitiesOur experience as an academic health center with EVD emphasized the importance of preparation, communications, and implementation:The institutional experience, while providing the opportunity to effectively care for these individuals, has led to best practice information and the education and training of others, created key academic, governmental, and community partnerships, expanded research programs in EVD, and resulted in the development and communication of new knowledge about this emerging disease. Mobilizing our diverse academic community to work collaboratively on this global problem is also an important long-term outcome."}
+{"text": "Tropical diseases remain a major cause of morbidity and mortality in developing countries. Although combined health efforts brought about significant improvements over the past 20 years, communities in resource-constrained settings lack the means of strengthening their environment in directions that would provide less favourable conditions for pathogens. Still, the impact of infectious diseases is declining worldwide along with progress made regarding responses to basic health problems and improving health services delivery to the most vulnerable populations. The London Declaration on Neglected Tropical Diseases (NTDs), initiated by the World Health Organization\u2019s NTD roadmap, set out the path towards control and eventual elimination of several tropical diseases by 2020, providing an impetus for local and regional disease elimination programmes. Tropical diseases are often patchy and erratic, and there are differing priorities in resources-limited and endemic countries at various levels of their public health systems. In order to identify and prioritize strategic research on elimination of tropical diseases, the \u2018First Forum on Surveillance-Response System Leading to Tropical Diseases Elimination\u2019 was convened in Shanghai in June 2012. Current strategies and the NTD roadmap were reviewed, followed by discussions on how to identify and critically examine prevailing challenges and opportunities, including inter-sectoral collaboration and approaches for elimination of several infectious, tropical diseases. A priority research agenda within a \u2018One Health-One World\u2019 frame of global health was developed, including (i) the establishment of a platform for resource-sharing and effective surveillance-response systems for Asia Pacific and Africa with an initial focus on elimination of lymphatic filariasis, malaria and schistosomiasis; (ii) development of new strategies, tools and approaches, such as improved diagnostics and antimalarial therapies; (iii) rigorous validation of surveillance-response systems; and (iv) designing pilot studies to transfer Chinese experiences of successful surveillance-response systems to endemic countries with limited resources. Please see Additional file Effective and timely surveillance and responses tailored to specific settings reflect the ability of a health system to provide reliable and judicious information for public health policy, pragmatic action in infectious disease control and elimination, and efficient sustainable development ,2. TropiDespite growing international funding and logistical support offered by the World Health Organization (WHO), multilateral agencies, philanthropic organisations and a host of new consortia to fight tropical diseases, the public health burden and the challenges facing programmes to achieve sustained control and ultimate elimination of the major NTDs are still enormous ,14. It hThe \u2018First Forum on Surveillance-Response System Leading to Tropical Disease Elimination\u2019 was held on June 16-18, 2012 in Shanghai. The Forum was jointly supported by the National Institute of Parasitic Diseases of the Chinese Center for Disease Control and Prevention (NIPD/China CDC), the Swiss Tropical and Public Health Institute (Swiss TPH) and the WHO. The purpose was to share knowledge and experiences pertaining to the control, prevention and elimination of major tropical diseases and to discuss novel approaches towards the establishment of integrated surveillance-response platforms and networks to assist these efforts. The Forum brought together scientists, public health experts and health policy specialists to explore and discuss promising surveillance-response systems with focus on, but not limited to, malaria, schistosomiasis, lymphatic filariasis and other NTDs. The participants in each session were engaged in in-depth discussion on current challenges, opportunities and measures to foster reliable effective surveillance-response systems as the strategic key for endemic countries moving towards disease elimination.It was felt that the establishment of a conceptual framework to design and implement surveillance-response systems is critical for the elimination of tropical diseases including NTDs. Surveillance-response systems with regard to infectious diseases of poverty have gained traction, particularly in settings where health systems provide an integrated data repository capable of characterising disease dynamics at multiple scales. Evaluating the impact of implemented programme(s) and intervention(s) in public health centres and health services on the population-level towards prevention or control of tropical diseases would benefit by a system for surveillance and response leading towards maximum positive health outcomes. To summarise, the two-fold objectives of this paper were: (i) to establish a platform for resource-sharing and effective surveillance-response systems for Asia Pacific and Africa with an initial focus on elimination of lymphatic filariasis, malaria and schistosomiasis; and (ii) to explore new strategies, with an emphasis on improved and more sensitive diagnostics and antimalarial therapies in elimination programmes.Schistosoma japonicum had declined to an all-time low with less than 300,000 infected people [Before 1955, just after the founding of the People\u2019s Republic of China, many infectious diseases were highly endemic, particularly in the southern parts of the country, similar to the epidemic and pandemic documented in Africa between 1980s and 2000 [d people ,24.Plasmodium falciparum malaria has been eliminated as a public health threat in all provinces except Yunnan. Among the 24 malaria-endemic provinces, annual incidence rates have dropped below 1 per 10,000 in 95% of the endemic counties, and only 87 counties have a rate above this threshold [With regard to malaria, it must be noted that sustained efforts have reined in the endemic areas, which are now considerably smaller with the number of cases in China decreasing from an estimated 30 million in the 1940s to less than 5,000 by the end of 2011 . Today, hreshold ,27. HencKnowledge on the unrelenting control of its many endemic tropical diseases and the growing expertise in other disease-endemic regions of the world has shown that China can harness evidence-based knowledge and information, create innovative approaches and implement large-scale, effective solution for both its own people and the global community. The low-level transmission patterns of infection and re-infection rates in China and other endemic countries underscore that continuing control activities are critical for ultimate success of schistosomiasis and malaria surveillance-response systems. For example, transmission features in schistosomiasis include environmental contamination by eggs excreted by a large number of domestic and wild animal species that contribute to transmission; indeed the proportion of eggs from water buffaloes might account for up to 90% of all eggs found in the endemic areas ,32. In aP. vivax transmission and mixed infections with P. falciparum and P. vivax are documented, respectively [It was documented that active mapping of disease transmission hotspots and molecular characterization of genetic diversity and population dynamics were effective for early detection, allowing prompt treatment using safe and efficacious drugs. Meanwhile, patient compliance and adherence to any effective prescribed regimen is vital for public health management in primary healthcare and minimising the evolution of resistant parasite strains resulting from sub-therapeutic doses and drug selective pressure indicators. There is a pressing need to develop new surveillance tools and strategic responses to shift the focus from control to elimination. With regard to local elimination of malaria in China, specific response packages must be tailored for different settings . For exaectively ,37.Anopheles vectors and transmission [Highly sensitive and specific diagnostic tools are urgently needed to target mass screening of asymptomatic gametocyte reservoirs in low/moderate endemic areas as well as sub-microscopic parasitaemia and intensive integrated management of hotspots linked to environmental, climatic and ecological appropriateness for smission ,38. Intesmission . Additiosmission ,18.New reliable tools and efficient strategies against other communicable diseases were discussed, such as development of highly sensitive diagnostic assays for early detection of low-transmission settings, MDA, development and validation of vaccines for prevention and drugs for management, improvement of preventive strategies and environmental sanitation, information, education and communication (IEC), community participation and ownership, mechanisation of agriculture, sewage drainage, building of public latrines, waste management and provision of clean water as well as modelling based on a minimal essential database approach Table\u00a0.Health system and health policy makers, and government will require development and implementation of new surveillance-response system policies in the context of infectious diseases elimination towards eradication (e.g. containment of private-sector workers importing parasitic diseases). New policies will include prevention and control, community-based mobilisation, IEC as well as participation and cooperation to re-enforce management, community ownership and development, such as mechanisation of agriculture and food production. For example, in malaria information system, remote sensing, web-based information, eHealth and mHealth for health services, information and communication) have proved useful in controlling malaria in remote areas and enhancing active surveillance as well as new and fast ways of gathering geographical, spatial, ecological and meteorological data relevant for the understanding of foci of vector transmission, dynamics mapping for patient follow-up, containment of infections or outbreaks and monitoring resistance -43.In schistosomiasis, veterinary public health and emphasis on the socioeconomic importance of zoonoses are needed along with health education with special reference to farming and the development of a new policy for surveillance-response systems to contain outbreaks and resurgence. In addition to prevention, control and spatio-temporal surveillance tools relevant to the understanding of schistosomiasis transmission dynamics, mapping of infectivity and close monitoring of outbreaks are important ,44-46.Surveillance and response represent the final, crucial steps in achieving effective elimination of a disease , as recognised in many of the ongoing malaria and NTD elimination programmes -49. Intrhttp://www.theglobalfund.org/en/) [P. falciparum, a dry-season, breeding-site mapping and an epidemiological survey were conducted, followed by diagnosis of malaria patients in the community and treatment in combination with integrated vector management and long-lasting insecticidal net (LLIN) campaigns). In addition, in their move towards elimination of the vicious cycle of poverty and infectious diseases, malaria consortia should continuously provide technical assistance for health system strengthening and the development of innovative tools to improve malaria surveillance and provide national and district staff with the information they need to respond to malaria outbreaks as well as to individual cases [Passive and active surveillance systems have been utilised for different purposes and at different stages of disease control and elimination Table\u00a0. Passiveorg/en/) ,51. Actial cases ,52-54.P. vivax and P. falciparum malaria addressed based on WHO\u2019s global roadmap.The Forum elaborated on a set of effective and essential features to achieve infectious disease elimination, such as (i) political stability and good governance; (ii) commitment to use local resources for elimination activities; (iii) worthy organisational and technical infrastructure coupled with qualified and committed personnel; (iv) adequate general health care services delivery; (v) making communities understand and support the control programmes; (vi) no major uncontrolled population movements; and (vii) The move from morbidity control to interruption of transmission and achievement of elimination requires novel, advanced technologies, either aimed at reducing the infection reservoir or at reducing the rate at which infections spread. This can be done by an innovative research portfolio that is expanded to include NTDs, zoonoses and other socioeconomic determinants in most endemic countries, particularly in sub-Saharan Africa. Important outcomes from the First Forum on Surveillance-Response System Leading to Tropical Diseases Elimination include foremost important lessons from previous outbreaks and resurgences of parasitic diseases in China and elsewhere; second, new surveillance-response platforms capable of further strengthening existing health systems at all levels; third, long-term commitment, which is crucial to achieve sustainability of the elimination agenda; fourth, political will, i.e. commitment to use local resources and implementation of innovative multi-sectoral, integrated approaches; fifth, improved diagnostic tools for early detection of infection and disease; and finally, but not the least, capacity-building, new partnerships and use of innovative technology to render existing surveillance-response systems more effective ,50,52,55The following questions were raised: (i) Do we have, and are we using, the most effective surveillance tools (this is of particular relevance with regard to diagnostics)? (ii) Are we implementing the most effective surveillance-response packages tailored to a given transmission setting? (iii) Is it possible to innovate and incorporate additional surveillance measures to existent interventions? (iv) What are the contributions of private companies to health? (v) How can we be sure that we move in the right direction? The Forum promptly progressed to addressing these questions during different sessions.Participants felt that the Forum provided a stimulating environment for exchange of ideas and experiences giving an impetus for rapid progress towards surveillance and response systems in elimination of tropical diseases that impact on the health and well-being of disadvantaged and marginalised populations in the world. It was concluded that the Forum should be held every 2 years. Hence, at the time of writing the current report, planning for the June 2014 forum is intensifying. The following recommendations for strengthening research on surveillance-response systems for disease elimination were put forward.The Forum recognised that containing the emergence and spread of tropical diseases requires early alertness, active detection and diagnosis of its pathogenic cause. Concerted efforts and effective partnerships are needed to share the roles and responsibilities in defining powerful surveillance-response systems to mitigate the public health burden of tropical diseases thereby ensuring scalability and sustainability.Setting up a genuine coordination and collaboration between Asia Pacific and Africa with regard to public health and control/elimination of malaria and NTDs was encouraged, emphasising surveillance-response systems that rely on an integrated and dynamic approach to risk management with ongoing research, data collection and real-time analysis, thereby driving evidence-informed knowledge translation into policy decisions and action with a feedback process to facilitate continuous advancement and adaptation.Continuous scrutiny of all aspects of infectious diseases occurrence and spread, pertinent to effective control and elimination, requires systematic collection, collation, analysis, interpretation and dissemination of health data and the establishment of a resource-sharing platform for surveillance-response system between Asia Pacific and Africa. Reconvening the Forum every 2 years would provide an opportunity to discuss progress and challenges in implementing local, national or regional surveillance-response system for targeted infectious diseases, discoveries and developments among scientists, public health specialists, politicians and other stakeholders.Importantly, documented limitations call for dispersion of technological advances in most developing countries of Asia Pacific and Africa, so that surveillance-response strategies and rapid diagnostic methods, tools and approaches can be improved. This requires continued innovation, validation and application of efficient, low-cost diagnostic, affordable novel therapeutic agents and vaccines ,5.in vitro sensitivity limitations of currently deployed detection tools (e.g. microscopy and rapid diagnostic tests) have been documented, and hence, there is a need for improved tools in assessing susceptibility [Sensitive diagnostic tools based on molecular methods and advanced biotechnological assays need to be developed as surveillance tools for monitoring and verification of elimination of tropical diseases ,39,52,56tibility ,56.The Forum provided a unique opportunity to discuss surveillance-response systems as the final stage towards elimination of infectious diseases, especially NTDs, based on a \u201cOne World-One Health\u201d perspective. Five research priorities were recommended: (i) dynamic detection and mapping of transmission, particularly low-level transmission, also using eHealth and mHealth; (ii) near real-time monitoring of population dynamics; (iii) modelling to establish minimal essential databases and indicators to be collected in space and time; (iv) design of effective response packages tailored to different transmission settings and levels; and (v) rigorous validation of approaches and response packages with regards to effectiveness within elimination programmes.It was emphasised that regional strategies, innovative data management tools, inter-sectoral, multi-disease control approaches and research framework on control and elimination of infectious diseases of poverty must be strengthened . SurveilChina can provide expert support on the establishment of diagnostic tools and techniques, in providing capacity building and training on tropical diseases to laboratory technicians, medical staff and disease control managers in Africa. Moreover, support in monitoring techniques and conducting collaborative research on all aspects of effective surveillance-response mechanisms can be provided depending on context, nature of endemicity. Assistance can be provided to African countries to complement their own electronic reporting system for infectious diseases , including continuous monitoring and evaluation of disease transmission dynamics through innovative Sino-Africa partnership. China had developed effective surveillance and early warning systems (EWS) for malaria and schistosomiasis based on electronic-based reporting systems ,59 and tP. falciparum and P. vivax exist. Drug resistance is a very important consideration in malaria control demanding the application of approaches, such as real-time molecular genotyping of sexual and asexual resistant biomarkers from asymptomatic and symptomatic population. This activity is paramount in endemic areas for the monitoring of emerging trends of susceptibility and drug resistance, which are key components of malaria control towards elimination.It is worth noting that China has made significant contributions in the discovery and development of drugs against malaria (e.g. artemisinins), schistosomiasis (e.g. artemisinins and mefloquine) and soil-transmitted helminthiasis (e.g. tribendimidine) -63. The Future global health involvements include the establishment of comprehensive sites for M&E and impact assessment in sentinel sites, focussing on three areas of possible research-action programmes: (i) characterising how demographic, epidemiological and environmental factors influence disease transmission by comprehensive comparison of population prevalence, capacity building in diagnostic ability, effects of integrated vector management between demonstration areas and control areas; (ii) socioeconomic factors and the status of prevailing health systems; and (iii) strategy and measurement assessment, including evaluating intervention effects of a related policy and strategy applied in the interventional areas and further exploration of the external validity of the findings from these areas.The Forum reviewed the action plans of NTD control and elimination articulated in the WHO roadmap and China CDC, as well as the national schistosomiasis elimination programme for China (2009-2015), placing particular emphasis on surveillance-response systems. China\u2019s challenges and needs in tropical disease control, and its experiences and lessons learnt necessitate national governments to build and implement surveillance-response systems to deal with tropical diseases, including imported cases and new outbreaks.The first Forum provided a platform for exchange among participants from different countries and sectors who presented their principles and approaches from disease control to elimination. The reader should, however, be aware that the current report expresses the opinions of the individuals participating in the Forum and does not intend to be an exhaustive exploration of the subject matter or a representation of consensus.During the First Forum on Surveillance-Response System Leading to Tropical Diseases Elimination, a priority research agenda within a \u2018One Health-One World\u2019 frame of global health was developed, including: (i) the establishment of a platform for resource-sharing and effective surveillance-response systems for Asia Pacific and Africa with an initial focus on elimination of lymphatic filariasis, malaria and schistosomiasis; (ii) development of new strategies, tools and approaches, such as improved diagnostics and antimalarial therapies; (iii) rigorous validation of surveillance-response systems; and (iv) designing pilot studies to transfer Chinese experiences of successful surveillance-response systems to endemic countries with limited resources.More than 100 scientists, disease control managers and other stakeholders participated in the First Forum on Surveillance-Response System Leading to Tropical Diseases Elimination. It offered the opportunity for discussions and exchange of ideas and opinions with emphasis on disease elimination and the key role played by surveillance-response systems. Strengths and limitations of national and international strategies for elimination, prevailing strategies, and novel approaches required for elimination, rely on useful surveillance-response platforms. Funding channels should be explored to intensify research and development of new, innovative and effective platforms. Supporting Sino-Africa partnership for control of parasitic diseases will require taking initiatives for global health and the best experiences from China and the international community to Africa. New operational research should be devoted to identify risk factors and hotspots of transmission, monitoring emergence and spread of disease outbreak with enhanced geographical information systems (GIS), health systems, care management and an integrated approach in improving the efficiency of surveillance-response systems.Sustained control can only be made leading to elimination by accelerating breakthroughs in research, while fully understanding inputs, processes, outcomes and impact on transmission. The launch of the WHO roadmap perpetuates the need for effective surveillance-response systems tailored to local settings. Systems effectiveness depends on access to highly sensitive diagnostics, prompt treatment and follow-up as well as quality of care and patient trust. Sensitive tools for surveillance for xenobiotic monitoring and a deeper understanding of which tools and strategies are most suitable to achieve elimination of malaria, schistosomiasis and other NTDs are needed. Moving from classical M&E to surveillance as an intervention and interruption of transmission not only requires high standards in data collection and appropriate analysis, but also experiences in modelling and validation, verification of elimination and reliable forecasting. Finally, relevant effective intervention science is a must in order to improve the effectiveness of the policies recommended and the public health interventions undertaken.The authors declare that they have no competing interests.ET, XZ, RB, MT, XNZ conceived the review concept. ET, LA, XZ, JHC, XNZ carried out the literature search, developed the structure for the manuscript, and drafted the paper. ET, XZ, RB, JGG, MT, XNZ participated to organize the draft sections, co-wrote sections of the draft, and ET, RB, JU, MT, XNZ edited the overall manuscript. All authors read and approved the final version of the manuscript before submission to Infectious Diseases of Poverty.Multilingual abstracts in the six official working languages of the United Nations.Click here for file"}
+{"text": "The Millennium Development Goals (MDGs) made a marked transformation for neglected and vulnerable communities in the developing countries from the start, but infectious diseases of poverty (IDoPs) continue to inflict a disproportionate global public health burden with associated consequences, thereby contributing to the vicious cycle of poverty and inequity. However, the effectiveness and large-scale coverage of artemisinin combination therapy (ACT) have revolutionized malaria treatment just as the control of lymphatic filariasis (LF) and onchocerciasis have benefitted from harnessing the broad-spectrum effect of avermectin-based derivatives. The paradigm shift in therapeutic approach, effected by these two drugs and their impact on community-based interventions of parasitic diseases plaguing the endemic low- and middle-income countries (LIMCs), led to the Nobel Prize in Physiology or Medicine in 2015. However, the story would not be complete without mentioning praziquantel. The huge contribution of this drug in modernizing the control of schistosomiasis and also some intestinal helminth infections had already shifted the focus from control to potential elimination of this disease. Together, these new drugs have provided humankind with powerful new tools for the alleviation of infectious diseases that humans have lived with since time immemorial. These drugs all have broad-spectrum effects, yet they are very safe and can even be packaged together in various combinations. The strong effect on so many of the great infectious scourges in the developing countries has not only had a remarkable influence on many endemic diseases, but also contributed to improving the cost structure of healthcare. Significant benefits include improved quality of preventive and curative medicine, promotion of community-based interventions, universal health coverage and the fostering of global partnerships. The laudable progress and benefits achieved are indispensable in championing, strengthening and moving forward elimination of the IDoPs. However, there is an urgent need for further innovative, contextual and integrated approaches along with the advent of the Sustainable Development Goals (SDGs), replacing the MDGs in ensuring global health security, well-being and economic prosperity for all. This year's Nobel Prize in Physiology or Medicine, awarded for the discovery of artemisinin and ivermectin, was divided between Youyou Tu \"for her discoveries concerning a novel therapy against malaria\" and William C. Campbell together with Satoshi \u014cmura \"for their discoveries concerning a novel therapy against roundworm infections\" Fig.\u00a0. These pThe burden of persisting and threatening infectious diseases in most developing countries is a complex affair, a fact recognized by The United Nations' Millennium Development Goals (MDGs) that repArtemisia - qinghaosu - has a long history in Chinese traditional medicine), are broad-spectrum drugs that can be used to cure many more infections than mentioned above; amazingly, the artemisinins have even effect against immature schistosomes, while ivermectin seems to limit the behaviour of the malaria vector. However, it was not evident that a new era had begun until the new drugs were in general use. Trying to pinpoint this historic shift exactly is of course futile, but it can be said that after the large-scale introduction of modern chemotherapy in the 1980s and 1990s, the first decade of the new millennium marks the time that world-wide implementation of mass drug administration (MDA) occurred [The root cause of the infectious diseases of poverty (IDoPs) is the ubiquitous presence of infectious agents. However, social and economic issues play a large role in their transmission and persistence, a fact recognized in both the MDGs and the follow-up SDGs. Still, the transformation of the endemic landscape is almost entirely due to large-scale distribution of the three novel 'wonder drugs' artemisinin, ivermectin and praziquantel, mainly used against malaria, lymphatic filariasis (LF)/river blindness and schistosomiasis, respectively. All three, discovered and developed in the 1970s , LF (Brugia and Wuchereria), hookworm infection and other soil-transmitted helminthic (STH) infections [The discovery of artemisinin and ivermectin have had, and will continue to have, a long-lasting, strong impact on the IDoPs, the former due to its effect on the parasites causing malaria; the latter because its effect on the different nematodes that cause river blindness against acute and severe malaria, intermittent preventive treatment and curative with respect also to the asexual plasmodium stages, has provided relief and hope for a large proportion of vulnerable populations in the endemic areas \u201311. Impote drugs , 11, 16 te drugs in strente drugs .Both acute and severe malaria continues to exert a deep-rooted impact in 109 countries and territories around the world and still constitute a leading risk factor for infant mortality and sub-optimal growth and development in spite of the global malaria elimination campaign programmes (GMECPs) that were in effect in the 1950s to the 1970s , 18\u201320.Artemisia plant extracts could kill P. berghei, a rodent malaria parasite laboratory model. The following year, she succeeded in isolating the active ingredient (qinghaosu), now part of ACT, the most important class of anti-malaria medications [In 1971, at the Pharmaceutical Institute of the Academy of Traditional Chinese Medicine, Youyou Tu showed that ications , 21. Artications , 22, 23.ications . Impressications , 24, 25.ications , 25, 26.The latest decades have witnessed substantial progress in raising awareness and increasing the production, adoption and distribution of existing effective interventions besides the use of ACTs, e.g. indoor residual spraying (IRS) and large-scale distribution of long-lasting insecticidal nets (LLINs) as prescribed by the RBM's universal coverage partnership , 27, 28.William C. Campbell and Satoshi \u014cmura discoveries proved to be a breakthrough in the tenacious fight against infections caused by roundworm parasites, mainly onchocerciasis and LF, dreaded health scourges of the most vulnerable groups of affected populations. The discovery, industrial development and implementation of the active avermectin derivative ivermectin (best known under the brand name Mectizan) led to a significant reduction of onchocerciasis in the endemic areas in central Africa and Latin America as well as of LF and scabies that are also endemic in India and Southeast Asia, thus improving the situation in vulnerable communities in low- and middle-income countries (LIMCs) , 3. In aO. volvulus, is transmitted to humans through bites of infected female blackflies (Simulium spp.). Adult worms can live up to 18\u00a0years in infected human hosts and release up to 1,000 microfilariae daily causing a variety of ailments including skin lesions due to chronic dermatitis, , rashes, intense itching, depigmentation as well as visual impairment due to eye inflammation causing corneal scars eventually leading to irreversible blindness [Onchocerciasis, transmitted by the filarial worm lindness , 32. Thelindness . The Onclindness and its lindness , 13 at alindness . Intervelindness . As of 2lindness .O. volvulus and reduction of the burden of visual impairment and blindness have been achieved [The Onchocerciasis Elimination Program of the Americas (OEPA) was launched in 1992 under the Pan American Health Organization (PAHO) with the goal of interrupting onchocerciasis transmission in six endemic Latin American countries by 2015 . The WHOachieved , 42. Howachieved , 35, 43.Schistosoma spp. species capable of infecting humans [Echinococcus spp. [Taenia spp. that can infect the brain and muscles with its eggs and larvae (cystocercosis) and food-borne trematodes (FBTs), such as Paragonimus spp., Opistorchis spp. and Clonorchis spp. [Though not recognized for this year's Nobel Prize, the story would not be complete without mentioning praziquantel. Praziquantel, a drug that has modernized the control of schistosomiasis and many other helminth infections in the same way the ACTs and ivermectin worked for malaria and LF/onchocerciasis, respectively , 45. Prag humans , 50\u201352 tcus spp. , whose lFasciola spp., a parasitic worm preferably treated with triclabendazole (sold under trade names Egaten and Fasinex) [FBT transmission is linked to traditional customs, e.g. consumption of dishes containing raw fish, crustaceans and plants in countries where these diseases are sustained by entrenched cultural practices, which are difficult to change. FBTs affect over 56 million people infected in over 70 countries ; this fiFasinex) .Schistosomiasis is acquired through contact with water infested with cercariae, the free-swimming larval forms emanating from the intermediate snail host when infected. The microscopic adult worms live in the veins of abdominal organs, where large amounts of eggs are produced for excretion via faces or urine aimed at hatching and infecting fresh-water snails thus closing the parasite's lifecycle. Large numbers of the eggs are, however, trapped in the tissues and where immune reactions cause damage that varies from subtle to serious. Millions of people suffer from severe schistosomiasis , 44, 53,The global IDoP elimination agenda will require strengthening community, national and regional leadership and commitment to rapidly increase funding and fostering integrated multidisciplinary and inter-sectorial policies. Furthermore, scaling-up of high-impact MDA coverage of available drugs, development and implementation of new, effective vaccines and other novel approaches and tools are needed in addressing the geographical complexity of the panoply of different diseases including malaria, river blindness, LF and schistosomiasis , 57. ThiThe pharmacological and therapeutic paradigm shift discussed here calls for further, strong investments in research and development in the field of drugs and vaccines creating pipelines of new products capable of tackling the challenge of rapid emergence and spread of vectors, parasites and drug resistance. Timely, evidence-based and cost-effective operational approaches and solutions for IDoPs and NTDs are required for dealing with the rise and spread of insecticide resistance, and the environmental impact of climate change. Likewise, development of diagnostics with improved sensitivity and specificity as well as preventive therapeutics and efficient information communication/dissemination mechanisms underscore the quest for novel and innovative approaches. Leveraging on lessons learnt, efficient and integrated intersectoral partnerships as well as collaboration in the development of needed, new diagnostics, drugs and vaccines are much needed. So are also proven and innovative community-based programmes with respect to ownership in health systems, surveillance and new opportunities in elimination interventions packages and eventually in moving forward eradication of IDoP worldwide."}
+{"text": "Depression is a highly prevalent disorder that poses a significant social burden to society. Despite continued advances toward the understanding of the pathophysiology of this disease, its molecular/cellular underpinnings remain elusive, which may be at the basis of the lack of effective treatment strategies. Among the different lines of research, recent literature suggests that impaired neuron and glial plasticity may be a key underlying mechanism in the precipitation of the disorder. Surprisingly, glial cells appear to be involved both in the pathophysiology of major depression and in the action of antidepressants. In particular, several works refer to alterations in the morphology and numbers of astrocytes, microglia, and oligodendrocytes in the context of depression, in human patients, and animal models of depression. These observations are linked to functional evidences, such as impairments in the cross-talk between glia and neurons, changes in the level of neurotransmitter or immunoactive substances, myelination status, and synapse formation, maintenance or elimination.Polyakova et al. begin by suggesting the astrocytic S100B as a novel marker of minor depression, specifically in males, which could help to understand its pathophysiology. The study point outs the possible relevance of glial cells in the modulation of brain neuron-glia networks at least in some types of depression. Rial et al. explore the multiple interactions between glial and neuronal cells at the synaptic level, which may be impaired in depressive-like conditions. The authors address how purines may be used to restore synaptic efficacy by modulating glia-neuron bidirectional communication, possibly reverting depressive-like behaviors. Jo et al. discuss the importance of the glial-mediated immune modulation through cytokine signaling that may trigger depressive episodes, and Branchi et al. highlight that by participating actively in the modulation of the extracellular environment microglia are an integral part of brain plasticity and, therefore, appear to account directly for the precipitation of the depressive disorder. Brites and Fernandes point out that the disruption of secreted extracellular vesicles, an alternative form of neuro-glial signaling, may also underlie depressive behavior. Collectively the research indicates that these novel forms of neuro-glia communication may represent a novel approach for modulation of the brain networks and, thus, its manipulation may allow the development of autologous therapies for depression.This Research Topic highlights the roles played by neurons, astrocytes, and microglia in depressive disorder(s). Di Benedetto et al. suggest a link between fluoxetine modulation of aquaporin four levels in astrocytes with consequences for astrocyte morphology and re-establishment of a functional glia-vasculature interface, which may underlie its antidepressant effect. Interestingly, the decreased levels of astrocyte-specific connexin 43 (Cx43) appear to be related with antidepressant and anti-anxiolytic phenotypes as suggested by Quesseveur et al. Moreover, the authors suggest that the inactivation of Cx43 might induce beneficial effects through an attenuation of the stress response, \u201cavoiding\u201d depressive symptoms. In accordance, Jeanson et al. explored the effect of antidepressants on the functional status of astrocytic connexins, showing a complex pattern of responses that links astrocytes to the mode of action of these drugs. Exploring the use of deep brain stimulation (DBS) as an alternative for treatment-resistant depression patients, Eti\u00e9vant et al. discuss the beneficial role of astrocytes in the process based on the absence of a DBS-effect after pharmacological lesion of astrocytes.In addition to the implication of glia in the pathophysiology (and treatment) of depression, a number of studies associates glia-related pathways to classically accepted antidepressant mechanisms. Specifically, in this Research Topic, Overall, the excellent reflections and novel data sets that make up this Research Topic provide evidence for a role of glial cells, namely microglia and astrocytes, in the mechanisms underlying depression and the effect of antidepressants. Collectively, the data indicates that despite the rapid advancement of the field there is still a long way to go. The study of glial cells will continue to reveal novel and more effective therapeutic mechanisms for depression and its symptomatology.All authors listed, have made substantial, direct and intellectual contribution to the work, and approved it for publication.JO and LP received fellowships from the Foundation for Science and Technology (FCT) and their work is funded by FCT (SFRH/BD/101298/2014 to JO and IF/01079/2014 to LP) and Bial Foundation (207/14 for JO and 427/14 for LP) projects. SV is supported by FCT (SFRH/BPD/81627/2011). CG is supported by FCT (SFRH/BPD/63013/2009). This work was co-funded by the Life and Health Sciences Research Institute (ICVS), and Northern Portugal Regional Operational Programme (NORTE 2020), under the Portugal 2020 Partnership Agreement, through the European Regional Development Fund (FEDER) (projects NORTE-01-0145-FEDER-000013 and NORTE-01-0145-FEDER-000023). This work has been also funded by FEDER funds, through the Competitiveness Factors Operational Programme (COMPETE), and by National funds, through the (FCT), under the scope of the project POCI-01-0145-FEDER-007038.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Magnetic resonance imaging (MRI) is an imaging modality widely used in clinical practice.The use of MRI for imaging of the thorax, however, has been historically considered oflimited value, despite the effort of physicists and radiologists to obtain positive andreproducible results in several studies. MRI plays a role in the assessment ofcardiovascular disease, mediastinal lesions and abnormalities of the brachial plexus andchest wall. However, clinical indications are restricted to specific conditions,generally as a problem-solving technique.,2. In more recent years, however, MRI hasevolved from a research tool to a useful modality in the assessment of thoracic disease.Technical advances such as very short echo times and ultrafast turbo-spin-echoacquisitions, that allow breath-hold imaging with full anatomic coverage and help toovercome cardiac pulsation,4, have improved the capability ofthoracic MRI. The use of contrast agents for perfusion MRI and gas imaging forassessment of pulmonary ventilation have further increased the applications of MRI inthe investigation of lung diseases-8.Continuous motion from cardiac and vascular pulsation and respiratory motion are one ofthe major challenges in MRI of the chest as they severely affect imaging quality. Asignificant limitation of thoracic MRI is imaging of the lung due to intrinsiccharacteristics of the pulmonary tissue and the presence of physiologic motion. The lowproton density of the lung parenchyma generates low signal intensity and lowsignal-to-noise ratio when compared to other parts of the body. Furthermore,susceptibility artifacts at tissue-air and liquid-air interfaces of the alveoli greatlyaffect signal intensityRadiologia Brasileira, Hochhegger et al. provide a concise yet comprehensivereview of MRI of the chest. The authors convey an instructive discussion of technicalaspects and challenges of thoracic MRI, including limitations of 3T MRI in the chest,and suggest strategies to overcome some of these obstacles.In the article \"Chest magnetic resonance imaging: a protocol suggestion\", published inthe current issue of ,11 as well as theadvantages of MRI in the staging of lung cancer when compared to CT and 18-FDG-PET/CT.Various studies have demonstrated the value of MRI in the detection and assessment ofdegree of tumor invasion in the mediastinum, pleura and chest wall, thus contributing tothe T descriptor of the TNM staging system-14. The present articlediscuss the role of whole-body diffusion-weighted MRI in the detection of distantmetastases (M staging) and remark the potential role of diffusion MRI in thecharacterization of irradiated lung tissue. The authors also describe the advantages of MRI in themorphological and functional assessment of patients with pulmonary hypertension,including estimation of cardiac function as well as surgical planning,17. Importantly, the use of MRI in the diagnosis of pulmonaryembolism and in the follow up of cystic fibrosis and pneumonia are discussed-20, highlighting the importance of MRI in populations at increasedrisk of ionizing radiation complications such as young patients and in pregnancy. Recentstudies assessing the use of thoracic MRI in cystic fibrosis in particular have shownpromising results, including depiction of morphological changes as well as evaluation ofpulmonary function and respiratory mechanics,21,22. The clinical impact of an accurate ionizingradiation-free modality for a young population requiring frequent imaging assessmentcannot be underestimated.In the first part of the manuscript, the main clinical indications of MRI of the chest ispresented, including recent data regarding the role of MRI in the distinction betweenmalignant and benign pulmonary nodulesThe authors finalize the article providing a basic MRI protocol applicable to most commonthoracic diseases while also suggesting additional sequences to be used in specificthoracic abnormalities. The proposed protocols are suitable to most state-of-art MRIscanners and can be easily implemented.I commend the authors for they effort to present MRI as a valuable modality in theassessment of pulmonary diseases, increasing awareness of the peculiarities andadvantages of this modality to the radiology community as well as for providingobjective tools that can move MRI from an underutilized technique to a modality with thepotential to substantially contribute to thoracic radiology."}
+{"text": "Muscle weakness in corticosteroid myopathy is mainly the result of the destruction and atrophy of the myofibrillar compartment of fast-twitch muscle fibers. Decrease of titin and myosin, and the ratio of nebulin and MyHC in myopathic muscle, shows that these changes of contractile and elastic proteins are the result of increased catabolism of the abovementioned proteins in skeletal muscle. Slow regeneration of skeletal muscle is in good correlation with a decreased number of satellite cells under the basal lamina of muscle fibers. Aging causes a reduction of AMP-activated protein kinase (AMPK) activity as the result of the reduced function of the mitochondrial compartment. AMPK activity increases as a result of increased functional activity. Resistance exercise causes anabolic and anticatabolic effects in skeletal muscle: muscle fibers experience hypertrophy while higher myofibrillar proteins turn over. These changes are leading to the qualitative remodeling of muscle fibers. As a result of these changes, possible maximal muscle strength is increasing. Endurance exercise improves capillary blood supply, increases mitochondrial biogenesis and muscle oxidative capacity, and causes a faster turnover rate of sarcoplasmic proteins as well as qualitative remodeling of type I and IIA muscle fibers. The combination of resistance and endurance exercise may be the fastest way to prevent or decelerate muscle atrophy due to the anabolic and anticatabolic effects of exercise combined with an increase in oxidative capacity. The aim of the present short review is to assess the role of myofibrillar protein catabolism in the development of glucocorticoid-caused myopathy from aging and physical activity aspects. Glucocorticoids, well-known immunosuppressive and anti-inflammatory drugs, have unfortunate side effects upon long-term use and high doses: fast twitch (FT) muscle fiber atrophy and development of myopathy ,2. Glucoet al. [Glucocorticoids, chemically classed as steroids, are hormones that affect the metabolism of carbohydrates. These steroids have an anti-inflammatory effect, but there are also many side effects of catabolic action. The catabolic effect of glucocorticoids depends on individual tissues. In contrast to the loss of protein from skeletal muscle, bone, lymphoid tissue, and smooth muscle, there is an increase in the rate of cardiac, hepatic, and urogenital activities . The catet al. , who aboet al. are the et al. . A decreet al. and of tet al. , shows t\u03b1, increases adiponectin and IGF-1 concentrations, and reduces total and abdominal visceral fat [More than four decades ago it was shown that the catabolic action of corticosteroids depends on the state of functional activity of skeletal muscle . Moderateral fat . Increaseral fat via a maeral fat . The receral fat .Over a lifespan there is a decrease of skeletal muscle mass, primarily as a result of the reduction of FT fibers , accompaMuscle fibers and myofibrils of glucocorticoid-caused myopathic glycolytic muscle are thinner in comparison with the control group and disappeared completely from one fifth of the area of myofibrils of myopathic muscle myosin filaments . The intDuring ageing muscle strength decreases significantly; for example, the hindlimb grip strength in old rats decreases by about 50% due to sarcopenia . GlucocoProtein degradation, particularly myofibrillar protein degradation, is typical for glucocorticoid myopathy. Protein degradation in skeletal muscle fibers, particularly in FT fibers with low oxidative capacity, is mediated by the activity of the ubiquitin\u2013proteosomal and the lysosomal pathways . The actIn the case of corticosteroid myopathy, sarcopenia, and cachexia, the molecular mechanisms of regulation of muscle, metabolism, and induced wasting disorder-related skeletal muscle atrophy is almost similar. Cachexia is characterized by the loss of adipose tissue as a result of an imbalance in lipogenesis and lipolysis, with enhanced lipolysis supported by neuroendocrine activation and tumor-related lipolytic factors .The central question is how to prevent or decelerate skeletal muscle atrophy in the elderly and glucocorticoid myopathic patients. Aging causes a reduction of AMPK activity as the result of reduced function of the mitochondrial compartment . AMPK acMuscle weakness in corticosteroid myopathy is the result of destruction and atrophy of fast-twitch muscle fibers and their myofibrillar machinery. The disappearance of one fifth of myosin filaments from myofibrils and a decrease in MyHC IIb isoform relative content are the reasons for decreased muscle strength and motor activity in the case of corticosteroid myopathy. The higher the degree of muscle atrophy, the lower the muscle elasticity and the higher the tone. A decrease in titin and myosin, and in the ratio of nebulin and MyHC in myopathic muscle, shows that these changes of contractile and elastic proteins are the result of increased catabolism of these proteins in skeletal muscle. Both glucocorticoid-caused myopathic and aging-caused sarcopenic muscle wasting is mainly a result of the decrease and atrophy of fast-twitch muscle fibers. In both cases, the myofibrillar protein synthesis rate decreases. Slow regeneration of skeletal muscle is in good correlation with a decreased number of satellite cells under the basal lamina of muscle fibers. Aging causes a reduction of AMPK activity as the result of reduced function of the mitochondrial compartment. AMPK activity increases as a result of increased functional activity. Resistance-type muscle activity causes anabolic and anticatabolic effects in skeletal muscle: muscle fibers hypertrophy and myofibrillar proteins turn over faster. These changes are leading to the qualitative remodeling of fast-twitch muscle fibers. As a result of these changes, muscle strength is increasing. Endurance-type muscle activity improves capillary blood supply, increases mitochondrial biogenesis and muscle oxidative capacity, and causes a faster turnover rate of sarcoplasmic proteins as well as qualitative remodeling of type I and IIA muscle fibers. As both muscle strength and endurance decrease in the elderly, particularly during glucocorticoid administration, the combination of endurance and resistance training may have the best rehabilitative effect."}
+{"text": "The Manchester Synthetic Biology Research Centre (SYNBIOCHEM) is a foundry for the biosynthesis and sustainable production of fine and speciality chemicals. The Centre's integrated technology platforms provide a unique capability to facilitate predictable engineering of microbial bio-factories for chemicals production. An overview of these capabilities is described. By harnessing the power of predictive SynBio methods, SYNBIOCHEM is driving next-generation sustainable manufacturing processes that are appropriate and commercially relevant for scale-up across many industrial sectors .The Manchester University Synthetic Biology Research Centre (SBRC), SYNBIOCHEM (http://www.mib.ac.uk/) and builds on the MIB's core strategy of uniting teams of interdisciplinary scientists and industrial partners to deliver challenge-led innovation in bio-based chemicals and broader industrial biotechnology sectors. SYNBIOCHEM also builds on a long-term vision and commitment by the University of Manchester in sustainable Industrial Biotechnology, leveraging and integrating world-leading capabilities in MIB Centres of Excellence including: Biocatalysis, Biotransformation and Biocatalytic Manufacture (CoEBio3); Manchester Centre for Biophysics and Catalysis (MCBC); Manchester Centre for Integrative Systems Biology (MCISB) and the Michael Barber Collaborative Centre for MS (MBCMS). SYNBIOCHEM was established in 2014 funded jointly by the U.K. Biotechnology and Biological Sciences Research Council, the U.K. Engineering and Physical Sciences Research Council and The University of Manchester. Led by three directors the Centre unites a complementary team of SynBio researchers at Manchester in pursuit of SynBio solutions that will deliver wider access to chemical diversity and more rapid and predictable delivery of chemical targets for scalable production/manufacturing. The interdisciplinary team includes not only chemists, biologists and computer scientists, but also investigators from the Manchester Institute of Innovation Research and the School of Social Sciences contributing insight of RRI relevant to the Centre activities. A key challenge includes consideration of the societal impact of SYNBIOCHEM research activities to ensure that the Centre anticipates, prepares for and, if necessary, mitigates the impact of SynBio technology in the wider society, economy and environment [SYNBIOCHEM is located in the Manchester Institute of Biotechnology (MIB; SYNBIOCHEM has established state-of-the-art and fully integrated Design/Build/Test technology platforms for bio-based chemicals production . The plaSYNBIOCHEM has an open and collaborative culture with a strong emphasis on building academic and industry partnerships, both at the national and international levels. Industrial foresight and awareness coupled to translation of SYNBIOCHEM discovery science and technology towards commercial exploitation are at the core of the Centre's strategy. The Centre hosts regular open meetings in a variety of formats, enabling one-to-one discussions with industrial partners, the development of new collaborative projects with external stakeholders, and through an industry club for joint supervision of research studentships in projects that address scientific problems of interest to the club members. Early SYNBIOCHEM programmes have resulted in protection of new intellectual property for the development of tools and microbial factories/hosts relevant to the production of pravastatin , biosynthttp://synbiochem.co.uk.In summary, SYNBIOCHEM is addressing major challenges in SynBio through a foundry concept and an open collaborative ethos with external partners. The Centre's integrated technology platforms provide a unique capability to facilitate predictable engineering of microbial bio-factories for chemicals production. Further information about the Centre and routes to collaboration can be obtained from the SYNBIOCHEM website:"}
+{"text": "This paper presents, from the perspective of technological development andproduction, the results of an investigation examining 61 clinical studies withvaccines conducted in Brazil between 1938-2013, with the participation of the OswaldoCruz Institute (IOC) and the Oswaldo Cruz Foundation (Fiocruz). These studies havebeen identified and reviewed according to criteria, such as the kind of vaccine, their rationale, design and methodological strategies.The results indicate that IOC and Fiocruz have accumulated along this timesignificant knowledge and experience for the performance of studies in all clinicalphases and are prepared for the development of new vaccines products and processes.We recommend national policy strategies to overcome existing regulatory and financingconstraints. Clinical studies are crucial for the development and registration of new products andconstitute today a structured process, mandated by strict legislation involving a growingnumber of participants, in a stepwise strategy.The Oswaldo Cruz Institute (IOC) and the other technical units which constitute the OswaldoCruz Foundation (Fiocruz) are recognised as very important institutions for basic scienceand biological and technological research on tropical diseases in Brazil. Theseinstitutions have a long tradition of clinical studies which have proven to be vitallyconnected to the prevention of infectious diseases of public health importance for Braziland other countries. In this paper, we review and analyse these studies, occurring over aperiod exceeding seven decades, from the perspective of technological development (TD). Theunderstanding, in a historical sense, of the evolutionary stages of these clinical studieswill hopefully provide a better understanding of the processes that were involved and mayhelp policy and decision-makers to conceive of new alternatives and create possibilitiesfor the design of new studies in the future.For the selection of the clinical studies we adopted the following criteria forinclusion: (i) studies conducted in human beings; (ii) prospective; (iii) vaccination asthe basic intervention; (iv) longitudinal and individual follow-up of participants; (v)published in scientific medical journals; (vi) conceived and conducted according toethical and legal criteria for clinical research in human beings, with tolerance to theabsence of formal ethical and regulatory evaluations regarding the older studies; (vii)conducted with participation of at least one unit or professional of Fiocruz/IOC.These restrictive criteria, besides being conceptually acceptable, met the requirementto limit the scope of the research within an acceptable range. Studies which did notmeet these criteria were excluded. These included retrospective studies,clinical-epidemiological studies, seroepidemiological studies, pharmacovigilance studiesand observational studies. Although the latter did not fit into the classical model ofclinical studies, some of them could be classified as clinical studies, in a broadersense definition.For studies conducted at the origin of IOC, which are outstanding and part of itshistory, these criteria were not strictly applied, which is justifiable, consideringthat the legislation on clinical studies came later. However, if they are not formallyperfect, they have been conducted ethically, with the best science and methodologyavailable at the time.The search for papers was done by databases, including PubMed, from the National Centerfor Biotechnology Information, National Institutes of Health, United States of America,and LILACS, the Latin-American database from BIREME-Regional Library of Medicine, fromPan American Health Organization (PAHO)/World Health Organization (WHO). However, mostpapers were found through personal archives, consultations with colleagues, somereference books on the history of vaccines and otheTo recover original papers, we used, besides PubMed and LILACS, the SciELO database,Capes Periodicals Gateway and the libraries of the National School of Public Health,Bio-Manguinhos/Fiocruz and Mourisco Castle. Photocopies were also obtained from theHinari Programme, from WHO and Oxford Journals.We use terms \"clinical trial\" and \"clinical study\" interchangeably.The period of study extended up to the year 2013 .The clinical studies with vaccines under the scope of IOC and Fiocruz, besides theirrelevance to the public health of Brazil and many other developing countries, havecontributed to the institutional TD.These technical advances built institutional knowledge and skills in vaccinethermostability, new freeze-drying formulation, use of certified inputs, improvement ofquality control methodologies and the skills to incorporate new products throughtechnology transfers, which resulted in scientific breakthroughs and have been landmarksof Fiocruz history.Haemophilus influenzaeType b (Hib) vaccine, measles/mumps/rubella (MMR) androtavirus vaccines [GlaxoSmithKline (GSK)] and shortly themeasles/mumps/rubella/varicella (MMRV) vaccine . Besides leading to theintroduction of new vaccines into the NIP, in a relatively short time, technologytransfers of these vaccines have made possible the creation, expansion and improvementof new platforms, production and laboratories and the creation of a qualified workforcethat is now a most valuable asset of Fiocruz. The positive consequences of theseinnovative processes have been outstanding and should not be minimised. Moreover,transfer of technologies has been feasible because of the intrinsic capacity of theinstitution for absorbing, in a relatively short span of time, the newly involvedtechnologies.Examples of tech transfer include the yellow fever (YF) vaccine (Rockefeller Institute),the polysaccharidic AC meningococcal vaccine (Institut M\u00e9rieux), the poliomyelitis andmeasles vaccines (BIKEN Institute), the The clinical studies of measles vaccines were conducted to evaluate the successfultechnology transfer and implement the regular use of a vaccine to counteract one of themain causes of child mortality in Brazil . The tecThe clinical studies with poliomyelitis vaccines and many additional seroepidemiologicalstudies resulted in changes and improvements in vaccine composition and eventuallyresulted in the elimination of this disease in Brazil and many other Latin Americancountries.oral polio vaccine (OPV) technologywas obtained under the umbrella of the Brazil-Japan Cooperation Agreement. Thetechnology transfer for this vaccine came through the Japanese Poliomyelitis ResearchInstitute. These actions included redesigns and upgrades of facilities, provision ofequipment, \"on the bench\" training within production laboratories, quality control andneurovirulence testing in nonhuman primates. The creation of this highly qualified groupin 1982 allowed Bio-Manguinhos to take the responsibility for the quality controltesting of the OPV vaccine used in the national routine immunisation program or in masscampaigns. Later, this responsibility was transferred to the National Institute forQuality Control. Another great contribution from Bio-Manguinhos was the formulationimprovements of OPV vaccine, including a doubling of the dose of type 3 OPV, required tocontrol poliomyelitis outbreaks in Northeast Brazil. This formulation change wasaccomplished in just two weeks after the decision was made. The highly satisfactoryresults led the PAHO to extend this recommendation to all Latin American countries and,afterwards, WHO recommended the use of the same formulation for all countries.As with the measles vaccine, the The clinical studies with diphtheria, tetanus and pertussis/Hib vaccine drove thetechnology transfer for the Hib portion of the vaccine. This resulted in theintroduction of this vaccine into the routine vaccination schedule, which, in a veryshort time, drastically reduced the incidence of Hib meningitis.Plasmodium falciparum , which needs better protection, and for pertussis and YF, which needimproved safety.Although some of the achievements have been remarkable, we should recognise thatinnovations at IOC and Fiocruz have been incremental and did not change paradigms . The innThe results presented here indicate that, over the last several years, there have beenconsiderable quantitative and qualitative advances in the development of clinicalstudies under the scope of IOC and Fiocruz. These demonstrate that clinical studies nolonger constitute a bottleneck for innovation, in terms of local capacity. However,regulatory and financial constraints still remain. There are also regulatory andoperational issues that need to be addressed, in order to streamline processes withoutloss of safety and quality. Slow decision-making and excessive centralisation ofregulatory and ethical processes may, in fact, decrease the quality of studies and mayresult in loss of opportunities in a competitive world.It should be noted that, although not reviewed here, several clinical studies withmeningococcal vaccines have been conducted at Bio-Manguinhos/Fiocruz, of which threehave been Phase I studies and published in congress annals , b,2010Although several new innovative vaccines are in development, their complexity isincreasing and will certainly require creativity and scientific and technologicalcapacity to achieve a final product.It should also be stressed that if we have been weak in technological innovation so farin Brazil, we have been innovators on the ethical concept that vaccines are a right ofcitizenship and that all people should have free access to them, as to basic sanitaryservices and education. The vaccine schedule of the Ministry of Health has significantlyexpanded and now includes all vaccines used by developed countries . MoreoveThe contribution of vaccines for the improvement of health conditions of the Brazilianpopulation is evident and outstanding. The infectious diseases targeted by vaccination(except TB) are under control. The Brazilian producers of vaccines made these conquestspossible and the clinical studies with vaccines have been an essential part of thisprocess.The review of clinical studies under the scope of IOC and Fiocruz within the period ofthis study indicates the strength and potential of IOC and Fiocruz to conduct all phasesof clinical studies with vaccines. However, the innovation component is still weak andshould be strengthened. To achieve this objective as well as to accelerate the TD of newand innovative vaccines, we suggest: (i) the urgent development of a new legal andinstitutional framework for Bio-Manguinhos/Fiocruz, allowing flexibility and capacity toproduce and to operate in the market. It is necessary to conciliate social commitmentwith speeding up of processes and entrepreneurial capacity, which are essential toindustrial activity and technological competitiveness; (ii) to stimulate intra and interinstitutional partnerships and the exchange of personnel, nationally andinternationally; (iii) to stimulate group and personal cooperation through meetings andcommon projects; (iv) to promote public-private partnerships, leading to technologytransfers, to search for common development of new products and processes; (v) tostimulate innovation and creativity; (vi) to attract new talent, creating an inspiringand receptive atmosphere and environment to innovation and creativity; (vii) to searchfor expertise, wherever it may reside, to solve the technological and organisationalproblems of Bio-Manguinhos/Fiocruz; (viii) to increase the governmental financing forclinical studies and to stimulate the non-governmental financing; (ix) to stimulateexcellence, at all levels."}
+{"text": "Ultrasongraphy (US) is a powerful diagnostic imaging tool for evaluating musculo-skeletal disorders in children. US is relatively cheap, non invasive and does not require sedation thus it is generally well-tolerated. Lack of ionizing radiation and dynamic imaging capabilities are significant advantages compared to CT and MRI too.US is ideally suited to the evaluation of the bone, cartilage and soft-tissue structures, including tendons and ligaments, joints and muscles .The combined use of new generation high frequency transducers and of Power Doppler increases the diagnostic accuracy of US.US is widely used in the diagnosis of hip disorders in children . In deveBesides hip\u2019s disorders, US can be employed in many other pathological conditions of the pediatric musculoskeletal system, including congenital, infectious, neoplastic and inflammatory disorders . ParticuIn acute osteomyelitis US is able to identify early abnormalities in the soft tissues overlying the bone just few days after the onset of symptoms before the appearance of radiographic signs. As infection progresses, US can depict interruption of the cortical profile related to bone destruction and diffuse involvement of subcutaneous tissue with formation of abscesses.Due to the peculiarities of the growing skeleton, the knowledge of musculoskeletal pediatric anatomy and especially of growth-related changes in healthy children is extremely important in establishing whether the US findings reflect pathology or are part of normal development ."}
+{"text": "Indirect contact transmission is considered as the most common mechanism of transmission of microorganisms in healthcare environments. Contaminated medical devices, equipment and surfaces in the environment of the dental surgeries are applied as a vehicle. Microbial contamination (bioburden) of medical devices from the category of critical, semicritical and non-critical was monitored in orthodontic surgeries in this project.The file included 11 dental chair units in Department of Orthodontic, Faculty of Medicine and Dentistry, Palack\u00fd University Olomouc and 11 dental chair units in private orthodontic surgeries. Dental chair units belongs to the category of non-critical medical devices and at the same time is defined as \"patient zone\" there is applicated \"My Five Moments for Hand Hygiene-Dental Care\".Swabs were taken from the following places: headrest, hand lights, armrest, spittoon, terminal of a rotary tool, control panel, and hand control of doctor's chair. orthodontic bands and wires belong to the category of critical medical devices. Orthodontic pliers belongs to the semicritical category of medical devices. Microbial contamination of the above mentioned medical devices was monitored by using of cotton swabs and cultivation in liquid and solid culture medium.Public orthodontic surgeries: Orthodontic bands and wires which included to the critical category of medical devices were contaminated in one case by coagulase-negative staphylococcus.Pseudomonas aeruginosa, from the group of gram-negative bacteria, was demonstrated the most often. Microscopic filamentous fungus Aspergillus sp. was demonstrated from spittoon in one case.Private orthodontic surgeries: Staphylococcus aureus was demonstrated in two cases in the private surgeries on the surface of semicritical medical devices (orthodontic pliers). It is very necessary to follow the recommendations for disinfection or sterilization of the above mentioned critical and semicritical category of medical devices.The public medical facility has a higher incidence of coagulase-negative staphylococcus in category of critical and semicritical medical devices. None declared."}
+{"text": "Treatment system planning and resource allocation is hampered by the lack of systems-level data and planning frameworks. We developed and pilot-tested a needs-based planning model for substance use services and supports that aligns with the estimated needs of the population of local health regions, takes a broad systems approach beyond the specialized sector, and yields estimates of required treatment capacities for service categories along the continuum of care.Using national population survey data, we estimated, for 94 regional planning areas in Canada, the number of people in need of substance use treatment within a given year, based on five \u2018tiers\u2019 of problem severity. We then estimated the probable help-seeking population for each level of severity, based on a synthesis of the literature. Working with a national expert consensus panel, we estimated the optimal trajectory of clients across several defined categories of treatment services organized by level of care. Integrating steps 1\u20133 yielded the number of people to plan for in each service setting. We piloted the model in nine Canadian jurisdictions, conducting gap analyses that compared the projected and actual service utilization, and supplemented by stakeholder feedback and local indicators of need, such as wait lists and referral data.The model development process and gap analyses at the nine pilot sites yielded important results for local planners, but with national implications. Results indicated that the capacity of moderate-intensity services is adequate in many regions, but that larger gaps exist in low-threshold services and high-intensity services , providing opportunities for international knowledge exchange."}
+{"text": "Over the past two decades, improved diagnosis, pharmaceutical therapies, and interventional strategies have impressively improved the armamentarium of modern cardiologists in the fight against the most incident and lethal diseases: heart failure, ischemic heart disease, and arrhythmia. The innovations in the field have mostly been enabled by inventions based on hypothesis-driven approaches. The invention and development of key cardiac biomarkers, such as natriuretic peptides and cardiac-specific troponins, may serve as examples. Based on few candidate molecules, the discovery of these markers requires neither high-throughput molecular screening, nor advanced computational methodologies for interpretation and refinement of results.e.g., age, body mass index, and kidney function) in such trials rather neglect the individuality of patients and their diseases. Hence, it is pivotal to enhance the characterization of prevalent and incident cardiovascular diseases, and either better select the appropriate therapy for the individual patient or define the personal drug target in a single patient.What has changed such that authors of this Special Issue on Computational Cardiology propose the requirement of a structured interaction of clinical, molecular, and bioinformatics experts? Evidence-based changes that have been implemented into current guidelines of cardiovascular medicine are mostly due to large-scale randomized clinical trials. Although this approach was hugely successful to improve prognosis of patients, in the future the treatment and outcome net-benefit expected from additional or refined treatments are predicted to become smaller and smaller. To further improve the management of heart disease, it is therefore important to increase personalization of new approaches. While the intricate power of statistics in randomized trials is obvious, the less than handful selection and phenotyping criteria for existing and upcoming pharmacotherapies and cardiac interventions;\u2022a real-time approach for data integration in the hospital setting and usage of big data on a population level;\u2022prevention of disease by early identification of health hazards;\u2022endorsement of health economic approaches in high-burden diseases, such as heart failure;\u2022improvement of point of care phenotyping and decentralized patient care to relieve the hospital setting;\u2022e.g., that are suited for gene repair;definition of new or personal drug-targets, \u2022automated monitoring of novel treatments for the early detection of treatment success and side effects.One could list the selected foreseen challenges and roles of computational cardiology including:Based on these fields of future innovations, the vision of the future of precision medicine demands for far more than rocket science, namely the simulation of molecular pathways, cells, tissues, organs, and whole organisms. The ignition will be set by advances in molecular and clinical phenotyping in conjunction with the recent developments in bioinformatics methods for integration of multi-level high-throughput and high-content datasets with clinical data. This will pave the way for integrative approaches for patient care in the real sense of personalized medicine.In this Special Issue on Computational Cardiology, we cover some of the exciting insights into new approaches toward a more personalized patient care using computational means. The authors highlight the importance of biobanks and comprehensive data resources, building the basis for future developments of diagnostics and potentially more targeted therapies The authors have declared no competing interests."}
+{"text": "The following Acknowledgements statement is missing from the published article:The authors thank Mani Vembar, CT Clinical Science, Philips Healthcare, Cleveland, Ohio for his comments and suggestions in the preparation of this manuscript."}
+{"text": "The standards of scholarly publications are evolving to meet the ever-growing demands of digital communications globally. Current authors, reviewers, editors, and publishers face numerous challenges, which can be overcome through Continuous Professional Development (CPD) aimed at advancing skills in research reporting and communicating with the global scientific community. The best scientific traditions nurtured by research and academic institutions in the Russian-speaking world over the past centuries may add to the quality of publications in the rest of the world. Conversely, the recent achievements in the systematization of scientific evidence and proper research reporting, made in Anglophone countries, are of great interest to the Russian counterpart, entering the global research competition.European Science Editing journal, and translated the EASE guidelines for authors, which is now the main reference for most Russian-speaking authors from Russia and other European and Asian countries.With that in mind, the Russian Regional Chapter of the European Association of Science Editors (EASE) organized its first seminar on science communication in Moscow on March 25, 2014 . It was chaired by Associate Professor, Dr Sergey V. Gorin and attended by a multidisciplinary group of researchers, journal editors, and experts in bibliographic databases from several leading Russian academic and research institutions in Moscow, Perm, Ryazan, and Yaroslavl. Dr Sergey Gorin opened the Seminar by presenting its aim and introducing lecturers. The aim was to improve research reporting and communication skills of Russian-speaking authors, reviewers, and editors and to facilitate their networking with collaborators from the English-language scientific journals and editorial associations such as EASE. The Russian chapter of EASE already arranged a regional meeting in 2013, published a paper in the The first lecturer, Member of The Russian Academy of Natural Sciences, President of The League of Professional Image Makers, Prof Viktor M. Shepel reflected on philosophy of culture of scientific publications and shared his life-long experience of evaluating style and structure of multidisciplinary research publications. Prof Shepel emphasized the importance of novelty, creativity, and courteous style of research writing. Easily understandable and logical flow of ideas, correctly elaborated hypotheses, as well as brevity and evidence-based writing are all indicative of high culture of the authors. The authors who do not properly use scientific terms and excessively rely on professional slang distract the non-expert readership. Unfortunately, not all researchers are skilled to present details of methodology applicable to the concrete circumstances and aims of their research, which complicates the evaluation of the papers, particularly those written by PhD candidates. The authors should analyze and report whether the materials used for their studies are representative enough for the generalization of the results. Finally, each paper should have a limited, logically justified number of references to link each statement with a relevant scientific evidence or fact. Overly citing literature sources or quoting words of wisdom of eminent scientists do not allow the readership to judge the style of the authors. Generally, Russian-speaking researchers are modest in expressing their own style of writing and expressing ideas, and are too often critical toward their own research work.http://elibrary.ru/), still do not have strict criteria for calculating research performance indicators. This is why the interpretation of the citation counts and related indicators is often prone to bias. The lecturer also touched upon some rampant cases of plagiarism in Russian papers and its detection by reviewers and science editors. The plagiarism-detection software currently employed by journal editors calculates quantitative indicators that do not reflect the real picture of scientific misconduct. Plagiarism in research grant applications still goes unnoticed by most research evaluators. Some Russian scholarly journals lack traditions of peer review, which leads to a wide variability of its models across periodicals. Strangely, there are journal editors who consider \u201coral peer review\u201d as viable as the written models.The second talk was given by Prof Oleg S. Sukharev from the Institute of Economics of the Russian Academy of Sciences. He discussed the current standards of scholarly journal and book publishing, and criticized the widespread \u201cobsession\u201d with the numbers of papers at the expense of their quality. Monographs and other types of books are becoming increasingly unpopular among the authors because of the inappropriate crediting system and unnecessary prioritization of the long lists of publications and large citation numbers. Prof Sukharev reminded the audience of the long-forgotten principle \u201cbetter fewer, but better.\u201d He was also critical of ranking journals based solely on citation indicators and distinguishing the so-called elite journals. Many ground-breaking research papers are not highly cited despite having true impact on science and bringing prestige and even Nobel prizes to their authors. Moreover, not all citations in research papers are correct and relevant. Citation databases, and particularly the Russian Index of Scientific Citations (http://www.ease.org.uk/publications/impact-factor-statement) and the San Francisco Declaration of Research Assessment (http://am.ascb.org/dora/). He stressed the importance of opening access to scholarly publications, which may increase their influence on the global scientific progress. At the same time, Dr Gasparyan referred to the increasing number of retractions in English-language journals, which is largely due to their accessibility through the free full-text digital libraries and repositories. The subscription to periodicals and the distribution through the regular postal services are no longer capable of meeting the increasing demands of updated scientific information worldwide. Digitization, which includes the assignment of Digital Object Identifiers (DOIs), XML encoding for permanent archiving and preservation of scientific literature, indexing and posting full-texts of journal articles on digital platforms, is the requirement of the \u201cbig science\u201d era. Many journals from non-Anglophone countries may improve their visibility and attractiveness for the global scientific community by following the best examples of online journals from Anglophone countries. That said, the authors should be also aware of the \u201cpredatory journals and publishers,\u201d which are listed by Jeffrey Beall on his blog (http://scholarlyoa.com/). The blog contains information on unacceptable practices, which corrupt the open access and waste the authors\u2019 efforts.The second session of the Seminar was run by Associate Professor, Dr Armen Yuri Gasparyan, who presented functional characteristics of bibliographic databases and search platforms, analyzed journal impact indicators, and introduced the EASE Statement on Inappropriate Use of Impact Factors . Prof Zhanna \u0410. \u041cingaleva , Prof Svetlana A. Gusar , Olga V. Kirillova (NEICON School in Moscow), and Elena V. Karpunina (Intereconom Publishing) shared their thoughts on the visibility of Russian journals in international bibliographic databases and reassured that most regional journals are now correcting format of references and upgrading standards of peer review and ethical publishing, which will be helpful for indexing in the future.All the lectures were thoroughly analyzed and commented on by the Seminar participants at the roundtable discussion. The participants were encouraged by Dr Gasparyan to submit their best papers to the journals with wide visibility and international outreach. Some exemplary journals were discussed in detail (eg, The Seminar participants were awarded with certificates credited with CPD credits in research methodology and communication. It was decided to arrange such seminars with international participation annually to discuss matters arising across multidisciplinary journals and to advance science communication skills of non-native English-speaking authors, reviewers, and editors of regional journals."}
+{"text": "There is an urgent need to build Research and Development (R&D) capacity for leishmaniasis and other neglected tropical diseases (NTDs) in the Middle East and North Africa.The neglected tropical diseases are a group of 17 viral, bacterial, protozoan, and helminthic infections that often have high morbidity but low mortality, causing disabilities through their impact on child development and education, pregnancy outcomes, and worker productivity [Leishmania is the most important protozoan infection in the MENA region [NTDs promote poverty and interfere with economic development. Emerging information indicates that the Middle East and North Africa (MENA) region is highly endemic for several NTDs, with increasing levels of poverty and disease in the region . Today, A region . Rapid uA region . Among tA region .http://www.afro.who.int/), have been successful in MENA countries, many have not received such attention.Globally, compared to HIV/AIDS, malaria, and tuberculosis, which receive 42.1% of the funds allocated to overseas development assistance for health, NTDs have generally been ignored, receiving only 0.6% of the budget . StudiesA similar level of neglect for both mass treatment of and R&D for NTDs has been noted for MENA countries. The World Health Organization (WHO) reports that mass drug administration coverage for many NTDs in MENA is low. For instance, the coverage for soil-transmitted helminthic infections in the WHO Eastern Mediterranean Region is less than one-half the coverage in sub-Saharan Africa . In addiAs mentioned previously, leishmaniasis represents a good case study of the challenges facing control of NTDs in MENA. Today, MENA countries exhibit some of the highest incidences of cutaneous leishmaniasis globally , with woIn addition to conferences, by establishing regional R&D and training centers of excellence in the MENA region, we could promote and build long-lasting research skills and capacities and enhance the contribution of research to the control and elimination of NTDs. One such center was suggested recently for southern Europe , but a pLeishmania major), and the second-highest prevalence of anthroponotic cutaneous leishmaniasis (Leishmania tropica infection) [Iran is one of the MENA countries with the highest prevalence of zoonotic cutaneous leishmaniasis (fection) . With mofection) . There aIn the coming years, geopolitical events taking place in the MENA region could promote the emergence or re-emergence of widespread NTDs. Now, more than ever, we need to re-examine the necessity to strengthen and expand existing programs for the control of NTDs in MENA, through improvement of mass treatment coverage for these diseases and identification of innovative ways to enhance R&D capacity in the region."}
+{"text": "The aim of tissue engineering is to promote the repair of functional tissues. For decades, the combined use of biomaterials, growth factors (GFs), and stem cells has been the base of several regeneration strategies. Among these, biomimicry emerged as a robust strategy to efficiently address this clinical challenge. Biomimetic materials, able to recapitulate the composition and architecture of the extracellular matrix, are the materials of choice, for their biocompatibility and higher rate of efficacy. In addition, it has become increasingly clear that restoring the complex biochemical environment of the target tissue is crucial for its regeneration. Toward this aim, the combination of scaffolds and GFs is required. The advent of nanotechnology significantly impacted the field of tissue engineering by providing new ways to reproduce the complex spatial and temporal biochemical patterns of tissues. This review will present the most recent approaches to finely control the spatiotemporal release of bioactive molecules for various tissue engineering applications. Although approved by the US Food and Drug Administration (FDA) in 2002, the high doses of rhBMP-2 used by this device resulted in major adverse side effects, including cancer, spinal cord compression from soft tissue swelling, spinal cord impingement from ectopic bone formation, elevated bone resorption from osteoclast activation, and preferential induction of adipogenesis over osteogenesis interactions between cells and the extracellular matrix (ECM) have been proven to be crucial to orchestrate tissue formation and regeneration in response to injury. Materials such as hydrogels and scaffolds engineered to emulate the ECM can support tissue healing Hoffman, .Three-dimensional patterning has been defined as the entrapment of biochemical (PLLA) scaffolds loaded with rhBMP-7 enhanced osteogenesis. Kim et al. (PLGA) for the controlled release of small bioactive molecules (Pandolfi et al., m et al. accompliInterface tissue engineering focuses on the development of tissue grafts capable of replacing defective interfaces, such as ligament-to-bone, tendon-to-bone, and cartilage-to-bone (Almod\u00f3var et al., in vitro 2D cell cultures, which fail to reproduce tissue complexity. Recently, 3D cultures on biomimetic materials mimicking the ECM microenvironment are becoming the in vitro models of choice to study the regenerative process of specific tissues. 3D biomimetic cultures are more physiologically relevant than those in 2D and simpler than in vivo models (Hoffmann and West, Most of the current understanding of the regenerative process is based on the use of simplified in vivo (Lee et al., in vitro and in vivo (Gelain et al., Recently, in a very elegant study, the Anseth research group proposed an RGD patterned hydrogel, synthesized through a versatile process of sequential bio-orthogonal click-chemistry reactions (DeForest et al., In vivo, the transient nature of GF signaling is combined with the slow, sustained signals received from the ECM (Lund et al., de novo matrix deposition (Kim et al., However, in the natural ECM, cells not only respond to signals presented on the surface of the ECM but also to soluble stimuli, especially in the regeneration process. Usually, these factors diffuse through the ECM and bind to their specific receptors on cells\u2019 surface, activating specific transduction cascades. in vivo. Altogether, the studies herein reviewed show the potential of 3D biomaterials spatiotemporally patterned with bioactive molecules to recapitulate the complex biochemical milieu of target tissues.In the past decade, significant advances have been accomplished in the design of biopatterned materials able to accomplish temporally and/or spatially controlled release of bioactive molecules. Despite these advances, methods should be further developed to prepare patterns and gradients with controlled shape and kinetics, in order to tune the desired cell mechanisms SM and FT conceived the idea of this review. SM wrote the Abstract, Introduction, and Conclusion sections. LP drafted the first paragraph, FT drafted the second paragraph, and SM and FT revised and finalized the mini-review with the help of ET.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "One of the major concepts of modern epidemiology and disinfectology is prevention and fighting with healthcare-associated infections (HAI).Prophylaxis of HAI in Russia.Epidemiological, statistical.It is one of the largest documented chronic outbreaks of Nosocomial Salmonellosis in the world which occurred (1994-1996) at the big multi-speciality hospital with more than 1,500 beds. The outbreak was active for approximately 3 years and more than 350 surgical and intensive care unit patients fell ill. At that point in time it was impossible to eliminate the outbreak by means of traditional antiseptics and antibiotics used for patients\u2019 treatment.2 of healthcare organization areas. Phagoprophylaxis schemes of patients found in NS effective disease area and undergoing treatment at in-patient hospital, and sanitation and phagoprophylaxis of stuff were developed and described by the author for the first time.For the first time ever in global practice adapted salmonella bacteriophage was used in a combined manner for treatment of NS patients (83 people), phagoprophylaxis of patients admitted to the in-patient hospitals and undergoing treatment there , sanitation and phagoprophylaxis of staff , and biological disinfection of more than 15,000 mThe method of Salmonella Bacteriophage combined use was highly effective, harmless, non-toxic while treating patients with salmonellosis at surgical and intensive care units, it allowed performing effective disease prevention in risk groups and sanitation of staff, it was cost-effective and highly effective in decontamination of surfaces and objects in medical organization. Combined use of adapted salmonella bacteriophage allowed isolating and eliminating of long-existing effective disease area of Nosocomial Salmonellosis for 3 months from the time of bacteriophage\u2019s application.None declared."}
+{"text": "With contributions from USA, Taiwan, Japan, and Korea, this special issue holds great insight. This special issue offers comprehensive knowledge on chitosan and collagen as biomaterials, especially with respect to their basic biological and chemical properties, as well as clinical applications. Two review articles described the preparation and biological application of chitooligosaccharide and its derivatives and the relevance to clinical dentistry of distinct characteristics of mandibular bone collagen. Original articles reported seven experiments: 3 chitosan topics and 4 collagen topics. The former demonstrated the contributions for a proteomic view of chitosan nanoparticle to hepatic cells, the promotion of D-glucosamine to transfection efficiency, and chitin application as skin substitutes. The latter showed the contributions for hydroxyapatite-gelatin nanocomposite, genipin modification of dentin collagen, dentin phosphophoryn/collagen composite for dental biomaterial, and biological safety of fish collagen."}
+{"text": "Human albumin is used for volume expansion and resuscitation and to correct hypoalbuminemia . HypoalbAlbumin mobilizes polyunsaturated fatty acids (PUFAs) from the liver and other tissues, and thus enhances the formation of cytoprotective bioactive lipids \u2013 lipoxins, resolvins and protectins \u2013 that, in turn, suppress production of proinflammatory prostaglandins, free radicals and cytokines. The beneficial actions of albumin thus depend on its ability to mobilize PUFAs and the formation of adequate amounts of lipoxins, resolvins and protectins. For those who have hepatic and tissue deficiency of PUFAs, albumin fails to mobilize PUFAs and formation of lipoxins, resolvins and protectins will be inadequate, which may explain failure of the beneficial actions of albumin in the critically ill.The cell membrane is rich in PUFAs that give rise to both proinflammatory prostaglandins, thromboxanes and leukotrienes and anti-inflammatory lipoxins, resolvins and protectins see Fig. BalancePlasma concentrations of TNF\u03b1, interleukin (IL)-6 and macrophage inflammatory protein-2 were significantly lower and the IL-10 concentration higher in the albumin-treated hemorrhagic shock model animals . HypoalbTNF\u03b1 administration to healthy well-nourished rabbits produced hypoalbuminemia and endoBased on the preceding discussion, I propose that PUFAs need to be administered along with albumin to enhance formation of lipoxins, resolvins and protectins to derive the benefit of albumin therapy in the critically ill ,17.Beneficial actions of albumin are limited by: availability of PUFAs in the liver and other tissues; formation of adequate amounts of lipoxins, resolvins and protectins from PUFAs; activity of cyclooxygenase and lipoxygenase enzymes; circulating levels of TNF\u03b1 and other cytokines that interfere with the formation of arachidonic acid, eicosapentaenoic acid and docosahexaenoic acid and induce hypoalbuminemia; enhanced formation of reactive oxygen species that peroxidize PUFAs and thus reduce their availability; and formation of proinflammatory prostaglandins that antagonize actions of lipoxins, resolvins and protectins ,17 (see Adipose-fatty acid binding protein (A-FABP), which induces insulin resistance and whose levels are increased in the critically ill , is a caA-FABP can be linked to the expression of Toll-like receptors, macrophage activation, synthesis and release of proinflammatory cytokines IL-6 and TNF\u03b1, activation of cyclooxygenase-2 expression and eicosanoid synthesis, events that cause insulin resistance and initiation and progression of inflammation and sepsis. PUFAs and lipoxins, resolvins and protectins suppress A-FABP expression, inhibit macrophage and cyclooxygenase-2 activation, and decrease production of proinflammatory cytokines, and thus decrease insulin resistance and resolve inflammation and augment recovery from sepsis ,19. Henc"}
+{"text": "The gap between what is known and what is practiced results in patients not benefitting from advances in healthcare and unnecessary costs for clients and health systems. The Promoting Action on Research Implementation in Health Services (PARIHS) framework posits 1) strong evidence, (2) context in terms of coping with change, and (3) facilitation as elements influencing successful implementation of new knowledge [ strong eThe development of the Context Assessment for Community Health (COACH) tool departed from the PARIHS framework and was undertaken in Bangladesh, Vietnam, Uganda, South Africa and Nicaragua in six phases; (1) defining dimensions and draft tool development, (2) quantitative and qualitative content validity amongst in-country experts, (3) content validity amongst international experts, (4) response process, (5) translation and (6) evaluation of psychometric properties. The tool has been validated for use amongst physicians, nurse/midwives and community health workers in these five settings.This study indicates that dimensions of context identified to influence implementation in high-income healthcare settings are also relevant in LMICs. Having said this, there are additional aspects of context of relevance in LMICs. The final version of the tool includes 49 items measuring the following eight aspects of context: leadership, work culture, monitoring services for action, sources of information, resources, community engagement, commitment to work and informal payment.Application of the COACH tool will allow for systematic characterization of local healthcare context prior to or as part of the evaluation of implementing new interventions and allow for deepened insights into the black-box of implementation in LMICs."}
+{"text": "Differential interference contrast microscopy is designed to image unstained and transparent specimens by enhancing the contrast resulting from the Nomarski prism-effected optical path difference. Retinitis pigmentosa, one of the most common inherited retinal diseases, is characterized by progressive loss of photoreceptors. In this study, Differential interference contrast microscopy was evaluated as a new and simple application for observation of the retinal photoreceptor layer and retinitis pigmentosa diagnostics and monitoring. Retinal tissues of Royal College of Surgeons rats and retinal-degeneration mice, both well-established animal models for the disease, were prepared as flatmounts and histological sections representing different elapsed times since the occurrence of the disease. Under the microscopy, the retinal flatmounts showed that the mosaic pattern of the photoreceptor layer was irregular and partly collapsed at the early stage of retinitis pigmentosa, and, by the advanced stage, amorphous. The histological sections, similarly, showed thinning of the photoreceptor layer at the early stage and loss of the outer nuclear layer by the advanced stage. To count and compare the number of photoreceptors in the normal and early-retinitis pigmentosa-stage tissues, an automated cell-counting program designed with MATLAB, a numerical computing language, using a morphological reconstruction method, was applied to the differential interference contrast microscopic images. The number of cells significantly decreased, on average, from 282 to 143 cells for the Royal College of Surgeons rats and from 255 to 170 for the retinal-degeneration mouse. We successfully demonstrated the potential of the differential interference contrast microscopy technique\u2019s application to the diagnosis and monitoring of RP. The light-sensing retinal tissue is composed of specially functionalized cell layers including the ganglion cell layer (GCL), the bipolar/horizontal cell layers, and the photoreceptor cell layer. The outer retinal layer, consisting of the outer plexiform layer (OPL), the outer nuclear layer (ONL), and the photoreceptor layer, detects, by means of numerous rods and cones, contrast and color, respectively. The photoreceptors for the initial sensing of light receive the light information of visual objects and transfer signals to retinal ganglion cells and optic nerves in the brain. Photoreceptor degeneration causes retinitis pigmentosa (RP), one of the most common inherited ophthalmologic diseases in vivo, can be useful for early diagnosis. Although there is no approved treatment for RP, vitamin A and docosahexaenoic acid have been reported to delay its progress in vivo, though imaging of rod cells remains a challenge Patients in the early stage of RP usually suffer from night blindness since primary RP incurs rod degeneration. Night blindness symptoms worsen as the disease progresses, followed by constriction of vision and, eventually, central vision loss Differential interference contrast (DIC) microscopy is designed to image unstained, transparent specimens, enhancing the contrast resulting from the optical path difference between two beams that are split from the Nomarski prism. In the present study, we set up a DIC microscopy system and observed photoreceptor cells with RP at the cell level.The DIC microscopy system used in our laboratory is comprised of a polarizer, Nomarski prisms, a condenser, an objective lens, and an analyzer . Light prd/rd) mice, both widely utilized animal models in RP research, were housed and provided with standard chow and water provided ad libitum. Male Sprague-Dawley rats and C57BL/6 (wild type) mice were reared separately as controls. Autosomal recessive RP occurs in the RCS retina due to malfunction of MERTK, a member of the Axl subfamily of receptor tyrosine kinase, which inhibits contact between photoreceptors and the RPE rd mice follows a pattern similar to that in human RP: apoptosis of rod photoreceptors, followed by death of cone photoreceptors rd mice, similarly to some human RP cases, results from a mutation in the \u03b2 subunit of cGMP-dependent phosphodiesterase rd mice aged 3 weeks and 3 months, were prepared . Samples were obtained from both eyes so as to compare, under DIC, retinal flat-mount and histological images of retinal sections stained with Hematoxylin and Eosin (H&E). Specifically, the retina of the right eye was extracted and flat-mounted with buffer solution on slides; the left eyeball was enucleated and fixed with 4% paraformaldehyde overnight and embedded in an optimum-cutting-temperature compound. Ten-micrometer-thick sections were obtained for H&E staining.The use of animals in this study was approved by the Animal Research Committee of Seoul National University Hospital, and complied with the regulations of the Association for Research in Vision and Ophthalmology\u2019s Statement for the Use of Animals in Ophthalmic and Vision Research. Royal College of Surgeons (RCS) rats, and C3H/HeJ retinal-degeneration . This RP-induced decrease agreed well with the closed-loop decremental tendency. Also, the tissue shrinkage could be confirmed by the cell decrement. A number of cells in the photoreceptor sample with RP at 8 weeks were even more decreased, since the RP had completely progressed. Thereby, the automated counting method which needs more validation in future research was demonstrated to be a possible diagnostic method for photoreceptor diseases that tend to manifest cell-number decrements.The DIC images were also analyzed by MATLAB for automatic diagnosis of RP based only on images rd mouse images obtained using the DIC technique well coincided with the measured histological morphologies of the photoreceptors. Also, the clear DIC images made possible the application of an automated counting program (designed using MATLAB) to image analysis and photoreceptor counting. Based on our results, we conclude that the DIC technique is a feasible and effective method of RP diagnosis. Indeed, more generally, the novel application of DIC microscopy to retinal imaging at the cell level potentially can be utilized as a simple and convenient retinal-disease-diagnostic technique. Future research should focus on the potential application of DIC microscopy to in vivo and real-time diagnostics and monitoring of human RP.The images obtained demonstrate that by the DIC technique, we can clearly distinguish RP-affected abnormal retinal tissue from normal retinal tissue. Also, DIC images can be used to estimate the elapsed time of RP. The RCS rat and"}
+{"text": "Stem cells mainly include embryonic stem cells (ESC), pluripotent stem cells (iPS), Epiblast-derived stem cells (Epi-SC), and adult tissue stem cells. ESC are pluripotent, being able to differentiate into the ectoderm, mesoderm and endoderm (Evans and Kaufman, Stem cell treatments include new technologies and therapies that aim to replace damaged tissues and cells in order to treat disease or injury (Lindvall and Kokaia, The ability of stem cells to self-renew and their capacity for differentiation offers significant potential for the generation of tissues with minimal risk of rejection and side effects. A number of stem cell therapies are still in the experimental stages, and are controversial (Francis et al., Stem Cell Treatments is to publish all findings and experiences of stem cell treatments, experimentally and clinically, and to open up new possibilities for the treatment of various diseases such as Alzheimer's disease, traumatic brain injury, heart disease, diabetes, and cancer, etc., that we may promote health and extend the human life span.The goal of"}
+{"text": "High risk behaviors (HRBs) can impact public health. HRB refers to any kind of behavior or reaction that can potentially harm psychological and biological aspects of an individual. These behaviors are hazardous to several areas of human development which include: health, performing duties or tasks commensurate with developmental stage, playing expected social roles, learning the skills, feeling competent and adequate, and preparation for doing tasks . PrevaleAlmost hundred years ago, ADHD was described as a childhood disorder called hyperactivity. Nearly six decades later, the \"minimal brain damage\" and \"minimal brain dysfunction\" were replaced with hyperactivity. With the introduction of attention deficit as the central feature of this disorder, a significant change occurred in the approaches of etiology and diagnosis of ADHD . CurrentPeople with ADHD, suffer from social and interpersonal problems. Inattention and hyperactive/impulsive behavior can cause social problems in this population , thus, PSymptoms of ADHD, in general, and its comorbidity with other disorders can increase probability of performing HRBs, but these are not the only determinants of high risk behaviors. Overall, ADHD patients have major problems in decision-making, executive functioning and social cognition. Their decision-making in ambiguous situations has the same features of \"intuitive-existential\" decision-making system . Also, tIn a review of the studies done over a period of 30 years by Uekermann et al. found that ADHD is associated with deficit in social cognition (e.g., face perception, emotional prosody perception . DeficitAlthough our understanding of ADHD and its association with HRBs has increased by the conducted research, there are still questions and issues regarding to hereditary, neuropsychological, developmental, environmental, psychological, social factors of ADHD which should be studied further. Some of the major issues in this regard are listed below.1- The interaction of genetic and environmental factors in the development of ADHD.2- The development of brain networks and circuits associated with ADHD symptoms, impaired executive functions and social cognition of people with ADHD.3- Deficits in executive function as a general capacity and also its components and how executive functions relate to HRBs in children and adults. 4- Studying the effectiveness of drug treatments and psycho-social interventions on executive functions and improving the deficit of social cognition depending on ADHD subtypes and developmental stage of the patients.5- Impact of parenting styles and cultural-social factors on development and maintenance of ADHD symptoms with HRBs, and the impact of ADHD on parental behaviors.6- The role and influence of different situations and emotional states in decision-making of people with ADHD."}
+{"text": "Phase contrast magnetic resonance imaging (PC-MRI) is the current gold standard for blood flow quantification. Using this technique it is possible to quantify cardiac output, stroke volume, shunts and valve insufficiencies. The accuracy of flow quantification is highly dependent on the manual delineation of the vessels of interest. Therefore, the purpose of this study is to develop an automatic method for vessel segmentation in PC-MRI sequences.A total of 211 subjects from a previous study [The stroke volume from the automated method agreed well with manual delineations Figure , with a In conclusion, the proposed method for vessel segmentation results in bias and variability comparable to manual delineations.Swedish Research Council, Swedish Heart-Lung Foundation, Medical Faculty at Lund University."}
+{"text": "Morphogens are secreted signaling molecules that play instructive roles to regulate tissue patterning and cell identity in a concentration-dependent fashion during early embryonic development. Four principal mammalian morphogens include retinoic acid, as well as members of the Wingless-int (Wnt) and transforming growth factor beta (TGF-\u03b2)/bone morphogenic protein (BMP) and sonic hedgehog (Shh) families. Morphogen gradients control a plethora of developmental events related to specification and differentiation, cell and tissue polarity, growth control and regeneration.In the nervous system, neuronal differentiation, the polarized outgrowth of neuronal projections, the pathfinding of axons toward their target cells, and the recognition of pre- and post-synaptic partner cells are fundamental requisites to allow the assembly of functional synapses. During the last decades, a growing body of evidence gathered from invertebrate and vertebrate model organisms has shown that the same morphogens classically known to orchestrate early embryonic development are also involved in the precise wiring of the nervous system.Aviles et al.; Bernis et al.; Berwick and Harvey; Dickins and Salinas; Pinto et al.; Rosso and Inestrosa; Silva-Alvarez et al.; Varela-Nallar and Inestrosa; Aviles et al.; Varela-Nallar et al.), BMP , and Shh signaling pathways. Research also covers the function of signaling cascades activated by other types of morphogens, including the fibroblast growth factors , the hepatocyte growth factor (HGF) , and netrin . In addition, researchers have contributed with the emerging roles of new molecules, such as the thyroid hormone , SCO-spondin , and vitamin C . Articles are focused on a wide variety of cellular processes involved in the establishment of neuronal connectivity, such as neurogenesis, neuronal specification, and maturation , axonal outgrowth, polarization, and guidance , and synapse formation , either in physiological contexts or in models of diseases affecting the normal function of the nervous system, including epilepsy , Alzheimer's disease , and amyotrophic lateral sclerosis .The aim of this research topic is to highlight the fundamental roles that morphogens play during the establishment of synaptic connectivity. Hence, we have brought together 12 original research articles and eight reviews. They are mainly focused on Wnt (We are confident that this integrative research topic emphasizes the central and pleiotropic roles played by morphogens during neural development. We therefore hope that the original articles and reviews presented here will inspire future directions of research focusing on the diversity of cell signaling mechanisms controlling the assembly, maintenance and regeneration of the nervous system.JH and NO wrote, edited and revised the manuscript.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "There is an alarming increase in the number of cases of diabetes with the global prevalence rate at 9% for the year 2014 . DiabeteMesenchymal stromal cells are at a forefront of the cell-based therapies and Davey et al. elegantly summarized importance of MSCs for diabetic microvascular complications . The revDr. Rajashekhar further reiterated the importance of MSCs in diabetic microvascular complications in his review by summarizing the critical benefits of MSCs for the treatment of diabetic retinopathy . His artFurthermore, Mizukami and Yagihashi summarized the importance of ASCs in the treatment of diabetic neuropathy adding tin vivo home to ischemic retina and integrate into retinal vasculature in diabetic retinopathy . Their sculature .+ cell levels and restoration of NO helps in correcting CD34 dysfunction choice of an ideal stem cell type, (ii) rigorous characterization of stem cells, (iii) site of injection and route of delivery, (iv) limited survival, (v) risk of tumors, and (vi) impaired potency, before the cell therapy reaches to the clinic. However, with advancement in research, stem cells will provide effective treatments for diabetic microvascular complications.The author declares that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Using different modalities of neuroimaging, both structural and functional brain connectivity can be mapped. The connectivity analysis has been widely applied into investigating the brain mechanisms of cognitive functions and neuropathology of different brain disorders. However, there are still some challenges when mapping, analyzing, and modeling the brain connectivity at different scales. This special issue aims at reflecting the advances in studies of brain connectivity, including both modeling methods and applications. In this special issue, different imaging techniques, such as structural MRI, diffusion MRI, and functional near-infrared spectroscopy (fNIRS), were employed in the studies of brain connectivity. The applications addressed hemispheric asymmetry, primary insomnia, and motor training. Also, the computational modeling methods and analysis toolbox of brain connectivity were introduced. The types of papers include review articles as well as original research.With the advent of brain imaging techniques, the study of human brain connectivityFor the modeling methods of brain connectivity, R. C. Sotero (2015) reviews computational models of phase-amplitude coupling (PAC) generation ranging from realistic networks of Hodgkin-Huxley neurons to neural mass models (NMMs) describing only the average activity of the neuronal populations involved and showed that NMMs are rich enough to provide a variety of PAC patterns. For the analysis toolbox of brain connectivity, J. Xu et al. (2015) developed a MATLAB software package that facilitates fNIRS-based human functional connectome data-analysis, which will be useful for the resting-state brain functional connectivity (FC) studies. For the application studies of brain connectivity, N. Shu et al. (2015) investigated the hemispheric asymmetry of brain white matter anatomical network which is constructed by diffusion MRI tractography and demonstrated that the topological asymmetries of the anatomical networks might reflect the functional lateralization of the human brain. L. Zhao et al. (2015) investigated the topological alterations of the structural covariance network for patient with primary insomnia, suggesting that insomnia might be related to underlying increase in brain network integration encompassing the sensory to motor networks, the default mode network, and the salience network and decrease in the integration between the sensory regions and the frontoparietal working memory network.The special issue also contains several review papers: B. Wong et al. (2015) review structural and functional connectivity studies of bilingualism and examined different issues such as whether the language neural network is different for first- (dominant) versus second- (nondominant) language processing; the effects of bilinguals' executive functioning on the structure and function of the \u201cuniversal\u201d language neural network; the differential effects of bilingualism on phonological, lexical-semantic, and syntactic aspects of language processing on the brain; and the effects of age of acquisition and proficiency of the user's second language in the bilingual brain, and how these have implications for future research in neurolinguistics. T. D. Ben-Soussan et al. (2015) review the connectivity studies of quadrato motor training and proposed a general model tying cerebellar function to cognitive improvement, via neuronal synchronization as well as biochemical and anatomical changes.In summary, the papers collected in this special issue cover a wide range of topics that are on the frontier of the methods and applications of brain connectivity."}
+{"text": "Evidence based policy-making has been promoted as a means of ensuring better outcomes but what counts as evidence in policy-making lies within a spectrum of expert knowledge through scientifically generated information. Different actors provide varying degrees of support for and use of different types of evidence in policy development. Since not all forms of evidence share an equal validity or weighting for policy-makers, it is important to understand the key factors that influence their choice of evidence.A retrospective cross-sectional study was carried out at the national level in Nigeria. A case-study approach was used and the Nigerian Integrated Maternal Newborn and Child Health (IMNCH) strategy was selected because it met the criteria of being: (i) recently developed (<10 years old); and (ii) of international prominence. Two frameworks were used for conceptualization and data analysis namely: (i) framework for analyzing the role of evidence in policy making developed by Mirzoev et al., in 2012, and (ii) the policy triangle. They were used to explore the key contextual and participatory influences on choice of evidence in developing the IMNCH strategy. Data was collected through review of relevant national documents and in-depth interviews of purposefully selected key policy and decision makers. Thematic analysis was applied.The breadth of evidence used was wide, ranging from expert opinions to systematic reviews. The choice of different types of evidence was found to overlap across actor categories. Key influences over actors\u2019 choice of evidence were: (i) perceived robustness of evidence - comprehensive, representative, recent, scientifically sound; (ii) roles in evidence process, i.e. their degree and level of participation in evidence generation and dissemination, vis-\u00e0-vis their role in the policy process; and (iii) contextual factors such as global agenda and influence, timeline for strategy development, availability of resources for evidence generation, and lessons from previously unsuccessful policies/plans.Actors\u2019 choice of evidence in policy making is influenced not only by the characteristics of evidence, but on the roles these actors play in the process, their power to influence the policy, and the context in which evidence is used."}
+{"text": "In 1995, Dr.Parker developed the vacuum-assisted breast biopsy technique (using theMammotome\u00ae equipment), to improve the accuracy of biopsies ofmicrocalcifications in adipose breast tissue. Core and vacuum-assisted biopsies were initially greeted withskepticism and even rejected by some medical professionals. Image-guided percutaneousbiopsies, however, would bring changes to the field and gain broad acceptance for use inclinical assessments.In 1989, Dr. Parker started performing percutaneous biopsy, using a core needle and anautomatic deployment device, for the diagnosis of nonpalpable breast lesions, thedetection of which was becoming increasingly more frequent after the advent ofhigh-resolution mammography. In their first study of the topic, published in 1990,Parker et al. compared the performance of core biopsy with that of surgical biopsy,concluding that core biopsy represents a reliable, rapid, and affordable alternativethat is well-tolerated by patients with minimum complications and a low risk ofparenchymal scarring; b) failure to standardize practices after a benignhistopathological result, resulting in patients who should be merely observed undergoingsurgery, and vice-versa; c) lack of technique and tactics in carrying out the procedure,including the incorrect choice of access and faulty spatial reasoning; d) lack ofappropriate documentation of the procedure-the report, the record of the lesion beforeand after the biopsy, and X-rays of the biopsy fragments -leaving the radiologist vulnerable from a legal aspect; e) lack of auditing of the results,making it impossible to evaluate the performance and identify errors to becorrected-8. Items a), b) and c) are certainly the result of gapsin the education of the radiologist. It is extremely important that radiologists whowork with breast imaging procedures frequent institutions that specialize in and arededicated to specific training. Item d) illustrates the distortion in our model of care,in which low rates of pay by the medical insurance companies leads to an excessivenumber of exams per hour. That problem can be solved only by presenting a united frontwithin the Brazilian College of Radiology and Diagnostic Imaging, because individuallywe are impotent. Item e) illustrates the absence of an auditing culture. There is nointerest in the matter, and radiologists do not receive specific training in that. Inaddition, it is difficult to obtain and correlate results in day-to-day practice,because patients are lost in the system.Although the demand for percutaneous biopsies is currently increasing, many problemsarise, resulting in false-negatives, late or delayed diagnosis, and increases in cost.Among the most important problems are the following: a) unawareness of the technicalcriteria for indicating the procedure (on the part of the requesting physician), as wellas of the criteria for recommending and selecting the best type of biopsy (core orvacuum-assisted) and guidance for each lesion (on the part of the radiologist), given that an incorrectindication/choice generates technical difficulties and diagnostic errors, as well asresulting in inefficient allocation of resourcesIn conclusion, the considerations above are points for reflection. The ultimate goal isto improve the experience of patients subjected to breast biopsy."}
+{"text": "In 2014 World Kidney Day (WKD) will focus on chronic kidney disease and aging. The mission of WKD is to raise awareness so that everyone cares for their kidneys and, if appropriate, check to assess if they are at risk for kidney disease. Prevention of kidney disease, early detection, and subsequent kidney protection are critical aims for WKD.Last year, the International Society of Nephrology (ISN) and the International Federation of Kidney Foundations (IFKF), focused the World Kidney Day (WKD) of 2013 on acute kidney injury . VariousGTH and HN contributed as authors of the manuscript.The author declared no competing interests.Ethical issues have been completely observed by the author.None."}
+{"text": "Undoubtedly, residents play a very important role in the healthcare system of most countries. The process of admission of medical trainees into specialties, residency training and their assessment are key determinants of the future of healthcare.In Canada, according to the 2014\u201315 data, there were 13,439 residents (excluding Fellows) distributed in 42 specialties/sub-specialities.Philips and Barker who systematically examined the occurrence of fatal medication errors over 25 years in the US attribute a significant spike in medication errors in July to the entry of a new cohort of medical residents.4A recent study by Curtis and Dube looked at the characteristics of CMGs, IMGs and CSAs in an era where measures are being taken to alleviate physician shortage.In Canada, the Canadian Resident Matching Services (CARMs), a non-profit, fee-for-service organization, facilitates a fair and transparent process of resident admissions into programs.*The Royal College of Physicians and Surgeons and the College of Family Physicians of Canada play are regulatory bodies that oversee the quality of residency training in Canada. Research into the training process and application of educational principles helps promote training quality. In this edition, Guajardo and colleagues examine the effect of inclusion of patient name and image in virtual patient cases on knowledge acquisition.A large part of resident training involves role modeling by preceptors. In Canada, with its wide distribution of population in rural and remote areas, medical schools train students and residents in these areas under the supervision of preceptors. Piggott, Morris, and Lee-Poy examine the facilitators and barriers to engagement of preceptors in distributed medical campuses. There are several barriers that can be addressed by medical schools such as: provision of training of preceptors in being better teachers, ensuring that preceptors in these areas are aware of curricular objectives, among others. Lubitz, Lee, and Hillier look at the perception of residents to the longitudinal integrated curriculum, a form of training provided in mostly rural areas.With the introduction of the CanMEDs roles, residents are trained and assessed using the CanMEDs framework.A large volume of literature exists in relation to the transformation of trainees from novices to experts."}
+{"text": "The axillary artery presents abnormalities in its origin and course and a variable branching.A rare case of axillary artery bifurcation and branching was observed in a 60-years-old European male cadaver of Greek origin. The right axillary artery at the second part was bifurcated into a superficial and a deep brachial artery. The superficial brachial artery anteromedial to the median nerve and lateral to the ulnar nerve gave off the acromio-thoracic artery and two lateral thoracic arteries. The deep brachial artery behind the median nerve, after giving rise to the anterior circumflex humeral artery trifurcated into a branch that coursed distally, the posterior circumflex humeral artery and the subscapular artery. The latter subdivided into the circumflex scapular artery, a muscular branch for the subscapularis and the thoracodorsal artery. The continuation of the deep brachial artery divided laterally into a humeral nutrient artery and medially into a trunk which trifurcated into the profunda brachii artery, a deep muscular branch and a branch to the posterior compartment of the arm. The profunda brachii artery ended as radial and middle collateral arteries.Deviations from the normal arterial pattern are of immense significance for anatomists, plastic, cardiovascular and orthopedic surgeons, vascular radiologists and interventional cardiologists. The pectoralis minor muscle divides the AA into three parts. The 1) Adachi . Althoug) Adachi . The varIn the present case, a unilateral high bifurcation of the AA into a superficial brachial artery (SBA) in front of the median nerve (MN) and a deep brachial artery (DBA) behind the MN is described. This abnormal division of the artery may have clinical application in hemorrhagic emergencies, where the accurate diagnosis and surgical repair or ligation of the vessels is crucial.During routine dissection of a 60-years-old Greek male donor who died after cardiac arrest, an unusual case of high bifurcation of the AA into two arterial stems supplying the right axilla and the upper limb was observed Figure\u00a0A. The prThe coexistence of abnormalities of the AA is unusual, while isolated aberrations of the arterial pattern follow a wide range among races and/or bilaterally (3rd part) (Natsis et al. st part and the 2nd part of the AA was also reported (Huelke rd part of the AA, although the PBA may be absent (Samuel et al. Twenty-three different arterial patterns of the AA have been recognized (De Garis and Swartley A Huelke . The LTA Patnaik or from Patnaik . The TDA Patnaik . Moreoved Huelke . In our d Huelke who obsend part of the AA into SBA and DBA occurred. Other authors (Cavdar et al. rd part, while a rare bifurcation at the 1st part, absence of the SSA and origin of the ATA from the DBA, was also referred (Jurjus et al. The AA high bifurcation into SBA and DBA (Cavdar et al. The variable pattern of the AA is of paramount importance for surgeons and interventional physicians. Although the superficial course of the SBA makes the arterial grafting and cardiac catheterization easier, the high bifurcation of the AA and its abnormal branching pattern may pose problems to clinician during angiographic procedures leading to diagnostic errors. The SBA due to its abnormal origin and position may be more prone to serious injury leading to hemorrhage (Jurjus et al. nd part. Documentation of such rare abnormalities in the axilla is highly significant for aneurysms and trauma surgery (Ortiz-Pomales et al. The present case provides additional information on the branching and distribution pattern of the AA since the high division of the artery occurs at the 2The body donor gave written informed consent before its death for the publication of this case report.K. Natsis - Professor, Director of the Department of Anatomy, Medical School, Aristotle University of Thessaloniki, Greece, natsis@med.auth.grM. Piagkou - Assistant Professor, Department of Anatomy, Medical School, National and Kapodistrian University of Athens, Greece, mapian@med.uoa.grNA. Panagiotopoulos - Research Fellow, Department of Anatomy, Medical School, National and Kapodistrian University of Athens, Greece, panagiotopoulos.nikitas@gmail.comS. Apostolidis - Associate Professor, Department of Anatomy, Medical School, Aristotle University of Thessaloniki, Greece, stlsa@med.auth.gr"}
+{"text": "Caloric restriction (CR), the reduced intake of calories without malnutrition, extends lifespan of many organisms, from yeast to mammals, and delays the progression of age-related diseases. Evidence show that hypothalamus is a crucial brain region for the progress of whole-body aging and the"}
+{"text": "Three hundred and twelve delegates from 73 cities in 16 countries took part in the conference. Actual problems of urogenital tract infection (UTI) including tuberculosis (TB) as a specific infection were discussed, including: nosocomial infections in urology, various aspects of prostate biopsy, epidemiology and diagnosis of urogenital tuberculosis, gender and age related characteristics of urinary tract infections, and male infertility, The meeting of the ESIU/EAU board at the annual EAU Congress in Paris in 2013 had decided to organize the Conference on Urogenital Tuberculosis (UGTB) in a region with a high prevalence of this disease. As the Novosibirsk Research TB Institute and the TB Department of Novosibirsk Medical University are well-known for their studies in this field, and Siberia is an epidemic region of TB, Novosibirsk was chosen as a place for this Conference. The meeting was organized as a joint event between several medical associations: The European Section of Infection in Urology (ESIU)/European Association of Urology (EAU), International Commission on UTI of the International Society of Chemotherapy for Infection and Cancer (ISC), Russian Society of Urology, Russian National Association of Phthysiologists, Asian Association of Urogenital Tract Infection and Sexually Transmitted Diseases (UTI&STI), Novosibirsk Research Institute for Tuberculosis and Novosibirsk Medical University, Russia. The Organizing Committee was chaired by Professor Truls E. Bjerklund Johansen, Chair of the ESIU, Professor Kurt G. Naber, Past-President of the ISC, and Honorary Chair of the ISC WG UTI, and Professor Ekaterina Kulchavenya, as President of the Conference. The International Conference \u201cUrogenital Infections and Tuberculosis\u201d was held in Novosibirsk, from 24 to 26 October 2013. Three hundred and twelve delegates from 73 cities in 16 countries took part in the conference, and 191 doctors attended via on-line translation. One of the conference highlights included the World Health Organization (WHO) report which indicated that 8.6 million people suffer from TB in 2012, including 1.1 million cases among people with HIV. In 2012, 1.3 million people died from TB. In 2012, an estimated 450,000 people developed multidrug-resistant TB (MDR-TB) globally and there were an estimated 170,000 deaths occurred from MDR-TB.M. tuberculosis may affect any organ of the human body, and next to the lungs the most common sites of the disease are the urogenital system, bones and joints. Unfortunately, because of delayed diagnosis, urogenital tuberculosis (UGTB) often has a complicated course. UGTB may mimic urogenital tract infection (UTI) with common bacteria, a fact that confuses many doctors who are not familiar with TB. The official opening ceremony was attended by the Minister of Public Health of the Novosibirsk region, Professor Leonid Shaplygin , and theFor three days there were parallel lectures, debates and discussions in two halls\u2014in English and Russian languages with simultaneous translation. The following problems were discussed: latent urogenital infections, their bacteriological diagnosis and therapy; complicated urogenital infections, their prevention and treatment; sexually transmitted infections; infectious diseases of the reproductive system as a cause of infertility and sexual dysfunction; interrelation of infections and tumors of the urogenital system: mistakes in diagnosis and features of combined therapy; standards of examination and treatment of patients with urogenital infections; epidemiology, organization of early detection and follow up of patients with urogenital tuberculosis; classification of urogenital tuberculosis; diagnosis, therapy and surgery of urogenital tuberculosis; multi-organ tuberculosis, and multi-drug resistance (MDR) with extrapulmonary tuberculosis.On the first day of the conference, participants were able to attend sections dedicated to the following topics: bladder leukoplakia, kidney stones, and the problem of non-specific cystitis, chronic prostatitis, and sexually transmitted infections. In the session on bladder leukoplakia, the etiology and pathogenesis of this disease were considered in addition to the role of sexually transmitted diseases. Also, the possibilities of minimally invasive procedures as well as the prospects for recovery of anatomy and physiology of the urothelium were demonstrated. A new method of less invasive intravesical laser therapy for bladder leukoplakia was presented with evidence of its superiority compared to transurethral resection. Problems of urolithiasis are by no means new to urology, but they are still quite relevant. The latest techniques and the \u201cgold standard\u201d lithotripsy and litholytic therapy were presented and prevention of infectious complications and preoperative preparation were thoroughly discussed . Although the topic of non-specific cystitis in urological practice has been repeatedly considered at various congresses and conferences, the contributions and discussions in this section were again very lively.On the second day of the Congress, the followings topics were discussed: current issues of nosocomial infections in urology, various aspects of prostate biopsy, epidemiology and diagnosis of urogenital tuberculosis, gender and age related characteristics of urinary tract infections, and male infertility. Possibilities of minimally invasive and endoscopic procedures in urology, as well as modern methods of drainage of the urinary tract and wounds were demonstrated to the audience.Ekaterina Kulchavenya emphasized in her presentation on the classification of UGTB that UGTB remains an important problem, especially in developing countries, because it is often an overlooked disease. Classification includes exact description of forms and stages of the UGTB, because each stage implies a different approach of management. Thus, accurate classification is the basis for good therapeutic results. Kidney tuberculosis (KTB) at stage 1\u20132 should be treated with chemotherapy, KTB at stage 3 requires partial nephrectomy, and KTB at stage 4 is indicated for nephrectomy. A stricture of ureter needs reconstructive surgery in KTB 1\u20133, but nephron-ureterectomy in KTB-4. Male genital tuberculosis (MGTB) should be treated with chemotherapy; fistulas are treated by surgery. Generalized UGTB, combining both kidney TB and male genital TB should be managed depending on the forms and stages of the kidney and male genital TB. UGTB is a tremendously diverse disease. A unified standard approach is therefore impossible. The common term \u201cUGTB\u201d gives insufficient information about therapy needed, e.g., surgery, and prognosis\u2014and makes evaluation of general epidemiology difficult. In contrast, a more detailed clinical classification will also improve the therapy of UGTB.Mete Cek from Trakya University (Turkey) reported the results of a 10-year, worldwide study on the prevalence, structure and characteristics of nosocomial infections in hospitalized urological patients. Besides prevalence and contemporary classifications, also a detailed analysis was presented concerning causes of nosocomial infections, antibiotic resistance patterns of uropathogens, and international practices of antibacterial therapy.Mycobacterium tuberculosis and drug susceptibility testing. According to the author\u2019s data, isothermal microcalorimetry could displace all other culturing methods, since the minimum detection time is only 25 h and the test easily identifies the drug sensitivity of the pathogen. With regards to UGTB, with this technique the growth rate and doubling time of 4 different mycobacteria could be determined in urine simultaneously.Florian Wagenlehner from the University of Giessen had two presentations, one on complications of prostate biopsy and the other on new antibiotics in urology. Every year in Europe more than 1 million prostate biopsies are performed, and the risk of infectious complications after this procedure is rising. The author proposed a strategy to minimize the risk of infectious complications and justified the need of targeted antibiotic prophylaxis. In his second presentation he analyzed the global bacterial antibiotic resistance in urology in relation to the antibacterial activity of different classes of existing and new antibiotics in the pipeline. Gernot Bonkat from the University of Basle (Switzerland) presented the isothermal micocalorimetry as a new method for identification of Topics of the third day of the conference were prevention of urogenital infections, chemotherapy and surgery of urogenital tuberculosis.Magnus Grabe discussed the prevention of infectious complications in urological surgery. He encouraged all participants to follow the recent recommendations of the EAU Guidelines.Bj\u00f6rn Wullt reviewed in his presentation the optimal management of uncomplicated UTI according to the 2013 updated EAU guidelines. Seung-Ju Lee described the methods of reconstructive surgery in UGTB. Denis Kholtobin presented his rather huge own surgical experience. He emphasized the necessity of simultaneous extirpation of bladder and prostate in male patients with bladder TB.M. tuberculosis with BACTEC 960 and GeneXpert. According to data of the Novosibirsk Research TB Institute, in 12.5% of patients with prostate tuberculosis that initially showed negative culture results, M. tuberculosis was finally found with these new methods.Anna Mordyk paid special attention to difficulties of bacteriological confirmation of UGTB. The main reasons are: (i) rare and scant mycobacteriuria and (ii) non-optimal previous antibacterial therapy for \u201curogenital tract infections\u201d, which in fact means overlooked UGTB. Olga Alhovik presented new techniques for rapid identification of On Wellcome Reception after first day of the Conference some participants who made biggest contribution in this event were awarded with Diplomas and Prizes, We do not know the real incidence and prevalence of UGTB as it includes KTB, MGTB, and female genital TB. All these forms of TB have their own clinical features and require their own approaches to the diagnosis and management. Before anti-TB drugs were created, the prevalence of UGTB was huge. Every fifth urological in-patient had UGTB, more than third of all pyonephrosis were due to TB . NowadayThis first conference brought together urologists and TB specialists not only from the Siberian region, but also from the whole of Russia and other countries as well. The outstanding quality of the presentations and the lively discussions during the congress underlined the high degree of relevance of this event. Participants were able not only to gain useful information, but also to find new partners for further joint research.There are many un-solved problems in TB urology. Unique terminology, classification, and approach to diagnosis, therapy and surgery for patients UGTB are needed. Heated discussions, hot debates and arguments between participants at this Conference resulted in agreement on key points.M. tuberculosis can be found in the ejaculate of half of the TB patients [The take home messages emphasized the need for more awareness regarding UGTB in many regions of the world, considering that UGTB is a sexually transmitted disease, as patients . A betteAfter Conference memory picture of the faculty was made in the hall of the Congress Center ."}
+{"text": "Juvenile scleroderma (JS), represents a rarely seen group of connective tissue disease with multiple organ involvement. Although quite rare in childhood, cardio-vascular and pulmonary involvements are the most important mortality and morbidity factors. Pulmonary arterial hypertension (PAH), the most important sequelae of pulmonary involvement, could be determined by echocardiographic examinations. Early cardio-vascular and pulmonary involvement determination is extremely important in reducing mortality of patients.The aim of the study was to use non-invasive methods to examine cardio-pulmonary involvement of the disease in patients. Treatment of patients with positive findings in the early stage of the disease possibly reduces the morbidity and mortality.Totally of 35 patients with scleroderma, followed up at Cerrahpasa Medical Faculty, Pediatric Rheumatology Department with diagnosis of juvenile scleroderma were included in the study. Doppler echocardiography was performed at Cerrahpasa Medical Faculty, Pediatric Cardiology Department and pulmonary function tests were performed at Laboratory for pulmonary function tests at Cerrahpasa Medical Faculty. FVC and DLCO were measured in order to investigate pulmonary fibrosis. The assessment of PAP and risk factors for PAH was made by measurement of maximum tricuspid insufficiency (TI), end diastolic pulmonary insufficiency (PI), AT/ET, RAP and contraction of vena cava inferior during inspiration.The values of TI, PI, AT/ET and PAP were found to be normal and statistically sign\u0131ficant different from the pathological values. The results of FVC and DLCO were found to be statistically significant above normal values. In other words, no patient was found to have cardio-pulmonary involvement.Although quite rare in juvenile scleroderma, cardio-vascular and pulmonary involvement is the most important factor in the prognosis of the disease. Early diagnosis, regular follow up and appropriate treatment are important in reducing the cardio-vascular and pulmonary complications of the disease.None declared."}
+{"text": "The authors would like to supply additional information in relation to the study.The characteristics of the sample population included in the study are outlined in the table supplied. The methods pertaining to this are as follows:Informed consent and inclusion into study: Each subject who qualified for the study was explained the purpose and procedures of the research and written informed consent obtained. Questionnaires were used to assess demographics, oral hygiene and diet. Oral hygiene habits were assessed by frequency of brushing, flossing, smoking history and visits to the dentist, while food habits were assessed by routine exposures to one of the four diet patterns: (i) Standard American , pasta and similar dishes, and desserts). (ii) Hispanic and Latino , avocado, olives, fruits, sweet breads, red meats), (iii) Asian or (iv) not fitting into any of the above categories.The legend for Table S1Ethnicity Table(JPG)Click here for additional data file."}
+{"text": "Selection of appropriate outcome measures is crucial in clinical trials in order to minimize bias and allow for precise comparisons of effects between interventions -3.We aimed to assess the frequency and completeness of outcome measures in randomized controlled trials (RCTs) included in Cochrane systematic reviews (SRs), focusing on evaluations of the efficacy and safety of rehabilitation interventions for mechanical LBP.We performed a cross-sectional study of all RCTs included in all Cochrane SRs (full-text) published on The Cochrane Database of Systematic Reviews in February 2013. Two authors independently evaluated the type and frequency of each outcome measure reported in the full-text of RCTs, the methods used to measure outcomes, and the proportion of outcomes fully replicable based on the reported information 84.7% \u2013 93.7 %), disability , range of motion , and quality of life measured respectively by 70, 43, 41, 19 different measurement instruments (Figure A large number of outcome measures and a myriad of measurement instruments were used across all RCTs. The reporting was largely incomplete, suggesting better opportunities for the standardization of approaches and reporting."}
+{"text": "The NMC portal allows users to access the experimental data used in the reconstruction process, download cellular and synaptic models, and analyze the predicted properties of the microcircuit: six layers, ~31,000 neurons, 55 morphological types, 11 electrical types, 207 morpho-electrical types, 1941 unique synaptic connection types between neurons of specific morphological types, predicted properties for the anatomy and physiology of ~40 million intrinsic synapses. It also provides data supporting comparison of the anatomy and physiology of the reconstructed microcircuit against results in the literature. The portal aims to catalyze consensus on the cellular and synaptic organization of neocortical microcircuitry . Community feedback will contribute to refined versions of the reconstruction to be released periodically. We consider that the reconstructions and the simulations they enable represent a major step in the development of in silico neuroscience.We have established a multi-constraint, data-driven process to digitally reconstruct, and simulate prototypical neocortical microcircuitry, using sparse experimental data. We applied this process to reconstruct the microcircuitry of the somatosensory cortex in juvenile rat at the cellular and synaptic levels. The resulting reconstruction is broadly consistent with current knowledge about the neocortical microcircuit and provides an array of predictions on its structure and function. To engage the community in exploring, challenging, and refining the reconstruction, we have developed a collaborative, internet-accessible facility\u2014the Neocortical Microcircuit Collaboration portal 13\u201316] somatosensory cortex from sparse data on its cellular and synaptic organization , 11 electrical types (e-types), and 207 morpho-electrical types (me-types); ~7.5 million connections belonging to 1941 unique m-type specific connection types; and ~40 million synapses belonging to six synapse types (s-types) . The synaptic level represents the anatomical and physiological properties of synaptic connections between specific pre-post combinations of m-types, and the complete map of intrinsic input and output synapses , from and to neurons of different types.An interactive browser across three levels: Comparisons between the morphological, molecular, electrical, synaptic, and physiology properties of the reconstruction and its overall circuit anatomy against the published literature.Experimental datasets used in the reconstruction process.Animations of simulated microcircuit activity under a variety of experimental conditions.Images illustrating key steps in the reconstruction process.Tools for analyzing, and simulating the reconstructed microcircuit.Models of neurons, ion channels, and synapses for the NEURON simulation environment.The microcircuit section of the portal contains data computed during the reconstruction process, using methods described in , electrical types (e-types), morpho-electrical types (me-types), and synapse types (s-types), numbers of intrinsic, and extrinsic synaptic connections and associated synapses, and the number of unique synaptic connection types between neurons of specific source and target m-types in a layer are given for each layer is given , calbindin (CB), and calretinin (CR)], and neuropeptides they express is given back-propagating from the axon , neurotransmitter release probability (U), time constant for recovery from depression , time constant for recovery from facilitation , and the predicted correction factor necessary to account for dendritic filtering (space-clamp artifacts). Physiological data at the connection level summarizes the kinetics and time course of post-synaptic potentials (PSPs). The data provided include onset latencies, peak amplitudes, 20\u201380% rise times, decay time constants, transmission failures, and the coefficient of variation of PSP amplitudes , a web link to the publication, the name of the contact author, and the names of the persons who undertook the literature search are also provided.The literature consistency contains papers considered in the validation process. For each paper we identified one possible evaluation criterion. Each paper is annotated to show the evaluation criterion, and the result of the validation . Where a paper was not actually used, it is marked as not implemented, or not applicable. Additional annotations describe the species and age of the animals used in the study, the brain region, cortical layer, and cell type concerned, the key finding, and other relevant results. The The evaluation criteria are based on the morphological, molecular, electrical, synaptic, circuit anatomical, and physiological properties of the reconstructed microcircuit. For ease of presentation, papers are grouped according to the class of properties considered in their evaluation criteria.This sub-section presents 64 papers used for the validation of experimentally reconstructed neuron morphologies. The papers provide data for Sholl statistics, dendritic and axonal lengths, dendritic and axonal volumes, soma diameters, and dendritic and axonal segment branch order and path distance statistics. Overall, the properties of the morphologies used in the reconstruction were consistent with the results reported in 17 papers, possibly consistent with 10 papers and inconsistent with nine papers. Six papers whose data were not comparable with the reconstruction were excluded from the validation process.in silico staining. This sub-section presents six papers providing the necessary data. The papers present data on the expression of the main calcium binding proteins and neuropeptides expressed by neurons of different types.During the validation process, gene expression data associated with specific neuron types was used to perform This sub-section presents 77 papers describing the electrical properties of different cortical neuron types. Data are provided for ion channel kinetics, electrical firing patterns, and passive membrane properties, including the resting membrane potential, membrane time constant, and input resistance. Other data describe electrophysiological features including AP amplitude, AP half-width, firing frequency, inter-spike interval, and dendritic properties including bAP and EPSP/IPSP attenuation.A, and GABAB receptor peak conductances, EPSC/IPSC properties , EPSP/IPSP properties , transmission failure rates, c.v. of EPSP/IPSP amplitudes, short term depression and facilitation, and tonic excitation and inhibition.This sub-section contains 81 publications used to validate the anatomical and physiological properties of synaptic connection types in the reconstruction. The data provided includes spine and bouton densities for different neuron types, as well as data for pairs of neurons belonging to specific m-types: synaptic innervation patterns, number of synaptic contacts per connection, connection probabilities, transmitter release probabilities, AMPA, NMDA, kainate, metabotropic glutamate, GABAThis sub-section presents 43 papers used to validate the anatomical properties of the reconstructed microcircuit. The properties considered include microcircuit thickness, individual layer thicknesses, layer-wise distributions and densities of neurons, total axon and dendritic lengths, total number of synapses and their densities, and layer-wise distributions of bouton densities from thalamocortical axons.This sub-section contains 47 papers used to assess the physiological properties of the reconstructed microcircuit. Relevant properties include the frequency of network oscillations, patterns of propagation of electrical activity across different cortical layers, the physiological properties of thalamocortical synapses, and the balance of excitatory and inhibitory synaptic conductances in different neuron types due to network activity.Over the past two decades, Markram and colleagues have experimentally characterized the cellular, and synaptic microcircuitry of developing (P13-16) rat neocortex, where the anatomical, physiological and synaptic properties are not completely mature stained coronal slices with annotations of individual layer extents, and spreadsheets summarizing measurements of layer heights.Measurements of individual layer heights.Data are given as microscopy images of NeuN stained slices with annotations of individual layer extents, and spreadsheets summarizing measurements of neuron counts across different layers.Layer-wise distributions and densities of neurons.Data can be obtained as text files containing the expression patterns of calcium binding proteins, and neuropeptides for morphologically identified neurons.Molecular characterization of single neurons based on the expression of calcium binding proteins , and neuropeptides .Data are provided as text files containing 3D representations of neuronal morphologies reconstructed using Neurolucida .More than 1000 morphological reconstructions of neurons of different m-types.Data are given for current stimuli (in pA), and voltage responses (in mV) from whole-cell patch clamp recordings in single neurons acquired using IGOR Pro .More than 1500 electrical recordings from neurons of different e-types.Data are provided for post-synaptic responses obtained from whole-cell patch clamp recordings in synaptically connected pairs of neurons.More than 5000 experiments from synaptically connected neurons.2+. Movies of evoked activity show electrical activity in response to the stimulation of thalamocortical fibers at different levels of extracellular Ca2+. Additional movies visualize the distribution of afferent synapses for a single exemplar neuron for each of the 55 different m-types, and predicted dendritic attenuation of EPSPs and bAPs for 5 exemplars for each of the 207 me-types.The videos section provides movies of simulated spontaneous and evoked activity in virtual cortical slices, obtained from the reconstructed microcircuit under a variety of simulated experimental conditions. Movies of spontaneous activity show electrical activity in the reconstructed microcircuit at different levels of depolarization and extracellular CaNeuroM provides a range of morphometric analyses that allow a user to quantify properties of the axonal and dendritic morphologies of neurons, and provides features that are used in the classification of different neurons into one of 55 m-types. NeuroR utilizes the results of NeuroM to identify and repair arbors that were severed during slice preparation. NeuroC produces clones of the neurons repaired by NeuroR, introducing statistical variations in the arbors of each cloned neuron. This procedure makes it possible to generate a limitless number of unique instances of neurons belonging to a given m-type.The tools section contains three tools used for the analysis, repair and cloning of neuronal morphologies. downloads section provides models of single neurons, synapses, and predicted maps of input-output synapses. Models are available either in the native format used in the reconstruction process, based on the NEURON simulation environment, or in the emerging NeuroML 2.0 , and LEMS . Models of individual neurons (in the NEURON simulation environment) can also be obtained from the me-type fact sheets [see Morpho-Electrical Types (me-types)]. Model packages for individual neurons contain a 3D reconstructed morphological model, models of ion channels and synapses, synaptic model parameter descriptions, and a template model of the electrical type. Additional helper scripts for the NEURON simulation environment are provided to instantiate a morphoelectrical neuron model, distribute ion channel mechanisms on axonal and dendritic arbors, and simulate electrophysiological and synaptic experiments.The in vitro. The shortfall can be overcome by in silico synthesis of axons, utilizing data from in vivo filled neurons and to enable community-driven refinement of the reconstruction. Newer versions of the reconstruction will be released periodically, consisting of data structures consistent with the current version. We consider that these reconstructions and the simulations they enable represent a major step in the development of in silico neuroscience.The NMC Portal is part of a broad trend toward the development of large repositories of anatomical and physiological data. Other examples include The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Idiopathic scoliosis induces change in coordination between body segments, spinal anatomy, left-right trunk symmetry and gait pattern. Various treatment methods have being used for scoliosis which includes: physical therapy, occupational therapy, osteopathic therapy, casting, bracing and surgery. However, using brace is a commonly used method in this regard. Although, the influence of brace to reduce the scoliosis curve has been investigated in lots of research studies, there is not enough research regarding the influence of brace on performance of scoliotic subjects while walking and standing. Therefore, the purpose of this study was to evaluate the immediate effect of brace on stability performance of scoliotic subjects and the symmetry of the ground reaction force applied on the right and left feet while walking.Then girls aged between 8 and 12 years were recruited in this study. The gait analysis was assessed using a three-dimensional motion analysis and a force plate (Kistler) in two conditions, with and without Boston brace. Moreover their stability was evaluated by use of force plate. The difference of kinetic and stability parameters between two conditions(with and without Boston brace)was checked by use of paired T-test.For scoliotic patients, comparison of in-brace and out-brace situations revealed a significant decrease in postural sway in brace associated with increase of patient stability. But very short-term bracing in AIS has no significant effect on the symmetry of force applied on right and left limbs during walking .Bracing aligned the vertebral column and improved the abilities of the subject to stand and walk."}
+{"text": "A 36-year-old woman, with no remarkable medical or family history, was admitted to thehospital in cardiogenic shock. Transthoracic echocardiography (TTE) revealed severebiventricular dilation and dysfunction. Several mobile masses consistent with thrombi wereattached to the apex and protruding into the left ventricle (LV) beyond the mid-ventricularlevel (Any condition with severe LV systolic dysfunction increases the probability ofintraventricular thrombus formation. Incidence of systemic embolization is low;nevertheless, it increases in cases of large, protuberant and highly mobile thrombi.Therapeutic approach in this scenario is controversial. It is generally agreed thatanticoagulation should be the initial therapy in most of cases, but there are no specificrecommendations regarding thrombolysis or thrombectomy.TTE is the gold standard technique for diagnosis and stratification of embolic risk, sinceit allows accurate assessment of morphology, mobility and point of attachment of theclot.Conception and design of the research and Analysis and interpretation of the data: LorenzoN; Acquisition of data: Lorenzo N, Restrepo JA, Aguilera MC; Writing of the manuscript:Lorenzo N, Rodriguez D; Critical revision of the manuscript for intellectual content:Lorenzo N, Aguilar R."}
+{"text": "C, the founder of the prion protein family, there has been a constant quest to dissect its biological function and that of its two homologs, Doppel and Shadoo. While clues were greatly anticipated from the generation of PrP null mice, alterations appeared quite imperceptible at first examination, beyond the clear-cut resistance to prion infection. Taking a closer look at these knockout mice, together with the generation of mice invalidated for Doppel and Shadoo has in the end yielded much information on the -sometimes overlapping- roles of these proteins. These in-depth investigations have also explored functions of the prion protein family beyond the central nervous system, which was obviously the first focus of interest since prion diseases are neurodegenerative disorders. This Frontiers Research topic on the promiscuous functions of the prion protein family incorporates contributions ranging from the field of developmental biology to that of structure-function, including aspects related to cell biology, signal transduction, and neuronal homeostasis.From the discovery nearly 30 years ago of the cellular prion protein PrPC deletion (Halliez et al., C expression after the brain, i.e., the placenta (Makzhami et al., C expression in human gestational diseases. The review by Allais-Bonnet and Pailhoux is dedicated to the gonads, a unique tissue where PrPC, Shadoo and Doppel are all expressed, raising the question of a potential redundancy between the three proteins, as well as their roles in reproductive functions (Allais-Bonnet and Pailhoux, C and the pathways involved in epithelial to mesenchymal transition, a process associated with major changes in cell adhesion properties and that physiologically takes place during embryonic development, while also involved in cancer metastasis (Mehrabian et al., C to stem cell biology and its recent association with tumor-initiating cells (Martin-Lanneree et al., C, with special emphasis on the protective role exerted by this protein (Sakudo and Onodera, Starting from the embryo, the contribution by Halliez et al. provides a comprehensive review of the impact of PrP invalidation on embryonic development, compiling data from both mice and zebrafish and highlighting the key cellular pathways affected by PrPC and cell signaling. The mini-review by Roucou elaborates on the connection between PrPC dimerization, proteolytic processing and the recruitment of cell signaling cascades (Roucou, C-related signaling and src family kinases, in contexts ranging from embryonic cell adhesion to regulation of NMDA activity (Ochs and Malaga-Trillo, C against NMDA-dependent excitotoxicity is the focus of the review by Black et al, which also discusses the pathophysiological implications of this regulation as to ischemic injury, neuroinflammation, and Alzheimer's disease (Black et al., C as a cell-surface receptor for Abeta oligomers, and follow-up investigations on the contribution of PrPC to Abeta toxicity, which is summarized in the review by Watt et al. (C to zinc homeostasis, and discusses how age-regulated deregulation of the interplay between PrPC, lipid rafts and zinc may contribute to Alzheimer's disease. The fate of PrPC during aging is further discussed in the review by Gasperini and Legname, which notably highlights the changes in the biochemical properties and lipid raft association of PrPC in aged animals (Gasperini and Legname, Several contributions go down to the molecular scale and focus on the relationship between PrP Roucou, . Ochs ant et al. . This reC, Doppel and Shadoo, as well as their specificities, in relation with their propensity to misfold (Rezaei, Further zooming on the molecule itself, the review by Rezaei provides a global view of the biochemical and structural similarities between PrP Rezaei, .Collectively, these works underscore the advance in our understanding of the functions exerted by the prion protein family and underlines their versatile roles according to the cellular context and interacting partners involved. Finally, they provide some future directions for further dissecting how the deregulation of these proteins functions can cause or contribute to pathological conditions.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Building on momentum in five NIH-supported meetings, \"Advancing the Science of Dissemination and Implementation,\" the NIH convened three separate meetings during 2013-4, each addressing an overarching issue: \"Developing a field-based approach to D&I research training\"; \"Measurement & Standardized Reporting\"; and \"Fit between Investigation and Research design?\"Meeting themes were selected by the NIH D&I Workgroup, addressing pressing needs in the field and high-demand topics from prior meetings. Targeted groups of participants were invited to the meetings, each led by a team of researchers and NIH staff.The training meeting yielded a map of current training, a field wide training vision, and a set of tensions--notably training for a rapidly evolving field. The research design workgroup produced a common terminology that crosses diverse fields of medicine and public health as well as disciplines, and categorized 27 different designs that have been used for dissemination and implementation research. The reporting workgroup identified four broad areas, planning, delivery, evaluation, and long-term outcomes as well as cross-cutting issues to provide reporting consistency. The meetings further generated a set of issues that cross-cut the three topics, including how to reflect the evolution of measurement, design and reporting within training programs and how to train reviewers, editors, decision-makers, and practitioners?The three issue-focused meetings provided opportunity to take stock of the field ten years after the initial NIH D&I meeting and generated papers that both synthesize the stimulate important advances for the field.Reporting guidelines improve the overall depth and quality of manuscripts across specialties and journals. No reporting guidelines for Dissemination and Implementation (D&I) research yet exist. We sought to develop a framework from which D&I reporting guidelines can be derived and to identify ideal metrics.The National Institutes of Health held a series of invited state-of-the-science meetings to address key gaps and opportunities in D&I research in 2013. One of these focused on reporting and evaluation/measurement. This workgroup's objective was to identify key areas in need of better measurement and reporting at all stages of D&I research.The workgroup concluded that the existing plethora of reporting guidelines mandated additional exploration before deriving D&I-specific reporting guidelines, and decided that a D&I framework divided into the planning, delivery, evaluation, and long-term outcome phases of research was an essential first-step.The overriding objective of the D&I framework was to improve population health, health equity, social well-being, and health system efficiency. The workgroup identified the following stages to be essential: Planning: D&I intervention's evidence-basis and mechanism of change, setting characteristics like organizational capacity for change and resources, evaluability and scalability of the implementation strategy, key partnerships, and study design. Delivery: reach; adoption; implementation fidelity, dose, adaptation, and costs. Evaluation: primary outcome effectiveness including measured unintended consequences; explicit description of settings and intervention adaptation, including PRECIS criteria for pragmatism, and robustness of implementation effort. Long-term Outcomes: sustainability, evolvability, transportability; conditions under which the findings hold; and an economic evaluation. In addition, participants identified multiple cross-cutting elements extending across all stages, including: multilevel context; multiple stakeholder perspectives; and societal costs. The next step is to contrast existing reporting guidelines with this new D&I framework to highlight overlap or deficiencies relative to complete and consistent D&I research reporting, and to identify appropriate measurement instruments.The fields of medicine and public health have made great progress in determining whether an intervention is efficacious or effective by conducting carefully crafted randomized clinical trials. In contrast to these designs to evaluate an intervention's efficacy or effectiveness, the designs for dissemination and implementation (D&I) research are not yet well established, a factor that has no doubt has impeded developing our knowledge of effective D&I. By its very nature D&I research is intimately connected to understanding how programs, practices, or policies work in different contexts, so there is more attention in D&I research on external validity, as contrasted to the heavy emphasis on internal validity that many of the randomized efficacy and some effectiveness trials address.This presentation is a product of a workgroup meeting of 10 scientists and NIH staff, convened by NIH to facilitate D&I research. This committee addressed differences in terminology and provided a summary of the designs that have been used in D&I research, including both randomized and non-randomized studies. We identified 27 designs and found it useful to categorize these designs into several broad categories. One category of designs involves what can be termed the \"traditional translational pipeline\" of interventions that move step by step from efficacy, to effectiveness, to implementation research. A second major class of designs involves \"hybrid designs,\" which combine elements of effectiveness and implementation research in one single design. Thirdly, we describe designs that are focused on quality improvement as the primary goal, in contrast to producing generalizable knowledge.Several of these latter designs borrow from diverse areas of engineering.We provide illustrations of these alternative designs and discuss cross-cutting issues, including community engagement and ethics in conducting implementation research.Demand for training in the science of dissemination and implementation is high, reflected in oversubscribed registrations for the NIH meetings on Advancing the Science of D&I and applications to existing training programs. D&I training is provided in a small number of national programs, but given local university courses and degree programs and the growth of on-line webinars, a field-wide perspective on training is needed.NIH convened a meeting of representative U.S. and Canadian trainers and trainees to in September 2013 to assess the field, identify cross-cutting themes, and develop a field-based training vision.The training meeting yielded a map of current training, including NIH funded summer training institutes, a handful of Master's and PhD programs, individual graduate courses, CTSA Cores, and on line webinars. Program aims, participants and funding sources vary, as do training deliverables . Training gaps were identified, including programs at the doctoral level and those designed for decision-makers, and practitioners. Several serious challenges were identified, including: shaping and continually evolving training for a rapidly advancing field, establishing boundaries with related fields, targeting appropriate levels of training specificity versus generality, and sustaining high-intensity training. The meeting also generated issues that cross-cut with the measures/reporting and research design meetings. Participants underscored the importance of a regular national meeting to provide an intellectual home for those trained in D&I. Meeting products will include papers for publication reporting a field-based training vision.The meeting yielded a map of current training in dissemination and implementation research as well as gaps and needs to be met through new training initiatives and a repository of training resources."}
+{"text": "The aim of this study was to analyze current scientific impact of Ss Cyril and Methodius University of Skopje, Republic of Macedonia in the Scopus Database (1960-2014).Affiliation search of the Scopus database was performed on November 23, 2014 in order to identify published papers from the Ss Cyril and Methodius University of Skopje (UC&M), Republic of Macedonia. A total number of 3960 articles were selected for analysis (1960-2014). SCImago Journal Rank (SJR), Source Normalized Impact per Paper (SNIP) and h-index were calculated from the Scopus database.The number of published papers was sharply increased with maximum of 379 papers in 2012 year. The largest number of papers has been published in Macedonian Journal of Medical Sciences, Journal of Molecular Structure, Lecture Notes in Computer Science, Acta Pharmecutica, and Macedonian Journal of Chemistry and Chemical Engineering. The biggest SJR and SNIP has journal Nephrology Dialysis Transplantation. First three places of the top ten authors belong to Dimirovski GM, Gavrilovska L, and Gusev M. Top three places based on Scopus h-index belong to Kocarev L, Stafilov T, and Polenakovic M. The majority of papers originate from UC&M, but significant numbers of papers are affiliated to Faculty of Medicine, Faculty of Pharmacy, and Institute of Chemistry as members of UC&M, as well as Macedonian Academy of Sciences and Arts. Articles are the most dominant type of documents followed by conference papers, and review articles. Medicine is the most represented subject.Officials of the Ss Cyril and Methodius University of Skopje should undertake more effective and proactive policies for journal publishers and their Editorial Boards in order to include more journals from UC&M in the Scopus database. Scopus is the world\u2019s largest abstract and citation database of peer-reviewed literature with smart tools that track, analyze and visualize research. Easy to use and comprehensive, Scopus is designed to quickly find the information researchers\u2019 need. Scopus indexes over 20,500 titles from 5,000 publishers worldwide; contains 49 million records, 78% with abstracts; includes over 5.3 million conference papers; and provides 100% Medline coverage and one in Trnava, Slovakia [AF-ID (\u201cUniversity of SS Cyril and Methodius Trnava\u201d 60021677)] which was excluded from analysis.A total number of 3960 articles, all from Ss Cyril and Methodius University , were selected for analysis (1960-2014). SCImago Journal Rank (SJR), Source Normalized Impact per Paper (SNIP) and h-index were calculated from the Scopus database [The number of publication in the period of 1960-1991 year was very small (1-29 papers per year). Starting of 1991 year, the number of published papers was sharply increased with maximum of 379 papers in 2012 year .The largest number of papers from Ss Cyril and Methodius University of Skopje have been published in Macedonian Journal of Medical Sciences (136 papers), followed by Journal of Molecular Structure (79 papers), Lecture Notes in Computer Science (46 papers), Acta Pharmecutica (38), and Macedonian Journal of Chemistry and Chemical Engineering (37 papers). The rest of journals published less than 36 papers top. TheThe number of papers published by top ten authors is shown in Scopus Hirsh index (h-index) for the top ten authors affiliated to Ss Cyril and Methodius University of Skopje was presented as calculated by Scopus. We can see from the The biggest number of papers belongs to Ss Cyril and Methodius University (3051 papers), but significant number of papers belongs to Faculty of Medicine, Ss Cyril and Methodius University (860 papers), Faculty of Pharmacy, Ss Cyril and Methodius University (145 papers), Institute of Chemistry, Cyril and Methodius University (138 papers), as well as Macedonian Academy of Sciences and Arts (105 papers) left. MoDocuments by type and documents by subject area are published by Ss Cyril and Methodius University of Skopje, shown in In this paper analysis of documents affiliated to Ss Cyril and Methodius University of Skopje deposited in the Scopus database (1960-2014) is presented. Starting of 1991 year, the number of published papers was sharply increased with maximum of 379 papers in 2012 year. The largest number of papers from Ss Cyril and Methodius University of Skopje has been published in Macedonian Journal of Medical Sciences, Journal of Molecular Structure, Lecture Notes in Computer Science, Acta Pharmecutica, and Macedonian Journal of Chemistry and Chemical Engineering. The biggest SCImago journal rank per year (SJR) and Source Normalized Impact per Paper (SNIP) has journal Nephrology Dialysis Transplantation. First three places of the top ten authors belongs to Dimirovski GM, Gavrilovska L, and Gusev M. Top three places based on Scopus h-index belongs to Kocarev L, Stafilov T, and Polenakovic M.The majority of papers originate from Ss Cyril and Methodius University of Skopje , but significant number of papers are affiliated to Faculty of Medicine, Faculty of Pharmacy, and Institute of Chemistry as a members of Ss Cyril and Methodius University of Skopje, as well as Macedonian Academy of Sciences and Arts. Most of the papers affiliated to Ss Cyril and Methodius University of Skopje originate from Macedonia, Yugoslavia, United States, and Germany. Articles are the most dominant type of documents followed by conference papers, and review articles. Medicine is the most represented subject. Engineering, computer science, chemistry, biochemistry, genetics and molecular biology, physics and astronomy are represented in more than 10%.From the top 10 journals participating in the Ss Cyril and Methodius University of Skopje publishing, only two of them are published in Republic of Macedonia . The biggest SCImago journal rank per year and the biggest Source Normalized Impact per Paper have the journal Nephrology Dialysis Transplantation, published outside the Republic of Macedonia. Thus, the impact of journals from the Ss Cyril and Methodius University of Skopje participating in Scopus database is very small. Other journals supported, attached or affiliated to mention UC&M as a publisher are not participating at all in the Scopus database. Officials of the UC&M should undertake more effective and proactive policies for journal publishers and their Editorial Boards in order to include more journals from UC&M in the Scopus database.http://www.researcherid.com/) [http://orcid.org/) [Analysis of author rank is very sensitive issue. In this analysis total number of published papers in Scopus database was bigger than the number of papers affiliated to Ss Cyril and Methodius University of Skopje in the same database. These differences are caused by affiliation changes of the top ten authors. For example, Dimirovski GM was affiliated with 121 papers to Ss Cyril and Methodius University of Skopje, and the rest of 139 papers are affiliated to Dogus Universitesi Istanbul, School of Engineering, Istanbul, Turkey. Similarly, Soptrajanov B, Polenakovic M, and Kocarev L have additional profiles as a result of their affiliation to Macedonian Academy of Sciences and Arts. Additional problems arise when author impact analysis search is used: i) some authors have used different names in different periods of time; ii) some authors transliterate their names in several different ways; iii) some authors add or do not add \u201cv\u201d; iv) some authors use only one of their two surnames; v) there are some identical names and surnames in the world for different researchers . All of id.com/) and in tid.org/) . IdentifFor the first time in Republic of Macedonia, current scientific impact of academic staff employed at the Institutes of the Faculty of Medicine, Ss Cyril and Methodius University of Skopje, Republic of Macedonia, was analyzed and published. Based on different citation values and citation indexes, it was concluded that Institutes of the Faculty of Medicine are very heterogeneous with three groups of institutes: institutes with higher scientific impact; institutes with intermediate scientific impact, and institutes with low scientific impact . ScientiRecently we presented the results of SCImago Institutions Rankings for R. Macedonia (2009-2012) and show that only Ss Cyril and Methodius University of Skopje were included in the SIR with world rank of 1726 to 1821. Regional rank in Eastern Europe was gradually increased from 156th in 2009 to 127th in 2013 year [In summary, analysis of documents affiliated to Ss Cyril and Methodius University of Skopje deposited in the Scopus database (1960-2014) have shown that the number of published papers was sharply increased with maximum of 379 papers in 2012 year. The largest number of papers from Ss Cyril and Methodius University of Skopje has been published in Macedonian Journal of Medical Sciences. The biggest SCImago journal rank per year and Source Normalized Impact per Paper has journal Nephrology Dialysis Transplantation. First three places of the top ten authors belong to Dimirovski GM, Gavrilovska L, and Gusev M. Top three places based on Scopus h-index belong to Kocarev L, Stafilov T, and Polenakovic M. Officials of the UC&M should undertake more effective and proactive policies for journal publishers and their Editorial Boards in order to include more journals from UC&M in the Scopus database."}
+{"text": "Development of normal hematopoietic cells is an ordered multi-step process, tightly regulated by a complex network of intrinsic factors and microenvironmental cues that control cell fate decisions within the bone marrow (BM) has been the most popular systems biology tool for the study of normal and leukemic hematopoiesis. This type of modeling is useful for the time evolving non-linear competition between normal and leukemic cell populations, considering multiple compartments to simulate different maturation stages or multiclonal behavior acting collectively within a dynamical complex context . By tracking HSC replication, the expansion of the hematopoietic system was apparent from birth to adolescence, when steady-state levels are reached. Stochastic modeling of replication kinetics has shown to be useful to predict cell rebounding upon hematopoietic transplantation or under emerging conditions proteins, and other molecules produced and expressed by niche cellular elements, may dictate the final fate decision , multi-compartment (differentiation stages), and agent-based modeling of leukemia pathobiology is a promising tool for the study of feedback pathways in the searching of auxiliary strategies for leukemia treatment, normal hematopoiesis rebounding, and relapse delay. The construction of novel \u201csystems within a system\u201d integrative theoretical models (Figure To this extent, the use of \u201cedge-technology\u201d s Figure that betJE: Analysis of published data, discussion of the topic-related information, drafting, and writing the paper. LM and RP: Conception and design of the Opinion Article, analysis of published data, discussion of the related information, drafting, and writing the paper. Critical review of the intellectual content.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Following the publication of our article , we notiAG performed the majority of experiments, analyzed the data, and drafted the manuscript. VH provided MDA231 and MDASrc ezrin KD and EZR/WT-expressing cell lines and contributed to the design of experiments. AS performed the TMA staining for Src/Ezrin, image analysis, clinical outcome correlations, and VEGF-A/-C western blots. DL supervised AS in establishing and optimizing the quantification of Src/ezrin in histopathological tissue samples by multi-channel immunofluorescence. MH assisted with the aortic rings experiment and analysis. NL assisted in quantification of angio/lymphangiogenic activity in tumour xenograft H&E sections. KN assisted in design and interpretation of aortic ring assay and analysis. YM collected the clinical outcome data for the in-house human breast cancer cohort and assisted in analysis and interpretation of clinical correlative studies. SS assessed the tumours in our breast cancer cohort and oversaw the construction, staining, and analysis of all TMA-related experiments. BEE conceived the project, supervised experiments & analysis, and contributed to writing of the final manuscript.All authors have made substantial contribution to the design of experiments, data analysis, and drafting of the manuscript. All authors have reviewed and approved the final version of this manuscript and agree to be accountable for all aspects of the work presented herein."}
+{"text": "Introduction: The burden of cervical cancer is large and growing in developing countries, due in large part to limited access to screening services and lack of human papillomavirus (HPV) vaccination. In spite of modern advances in diagnostic and therapeutic modalities, outcomes from cervical cancer have not markedly improved in recent years. Novel clinical trials are urgently needed to improve outcomes from cervical cancer worldwide.Methods: The Cervix Cancer Research Network (CCRN), a subsidiary of the Gynecologic Cancer InterGroup, is a multi-national, multi-institutional consortium of physicians and scientists focused on improving cervical cancer outcomes worldwide by making cancer clinical trials available in low-, middle-, and high-income countries. Standard operating procedures for participation in CCRN include a pre-qualifying questionnaire to evaluate clinical activities and research infrastructure, followed by a site visit. Once a site is approved, they may choose to participate in one of four currently accruing clinical trials.Results: To date, 13 different CCRN site visits have been performed. Of these 13 sites visited, 10 have been approved as CCRN sites including Tata Memorial Hospital, India; Bangalore, India; Trivandrum, India; Ramathibodi, Thailand; Siriaj, Thailand; Pramongkutklao, Thailand; Ho Chi Minh, Vietnam; Blokhin Russian Cancer Research Center; the Hertzen Moscow Cancer Research Institute; and the Russian Scientific Center of Roentgenoradiology. The four currently accruing clinical trials are TACO, OUTBACK, INTERLACE, and SHAPE.Discussion: The CCRN has successfully enrolled eight sites in developing countries to participate in four randomized clinical trials. The primary objectives are to provide novel therapeutics to regions with the greatest need and to improve the validity and generalizability of clinical trial results by enrolling a diverse sample of patients. Cervical cancer is the fourth most common cancer in women worldwide with almost 530,000 cases diagnosed in 2012 , a subsidiary of the Gynecologic Cancer InterGroup (GCIG), is a multi-national, multi-institutional consortium of physicians and scientists focused on improving cervical cancer outcomes worldwide by making cancer clinical trials available in low-, middle-, and high-income countries. In this manuscript, we describe the early activities of the CCRN, with a focus on describing a model of collaborative capacity-building, with the overall goal of promoting cervical cancer research and improving access to novel therapies.The CCRN is a subsidiary of the GCIG, a non-profit network of appointed representatives from international cooperative research groups for clinical trials in gynecologic cancers. The GCIG was established in 1990s with the goal of promoting and conducting high quality clinical trials to improve outcomes for women with cancers of the ovary, uterus, and cervix. The GCIG has been highly successful in completing clinical trials, publishing results, and developing consensus conferences.The CCRN developed to address the lack of cervical cancer clinical trials, increase enrollment on existing trials, and improve the standards of cancer care in low- and middle-income countries. In light of the limited improvement in survival in locally advanced cervical cancer in the decades since chemoradiation became the standard of care, the vision of the CCRN was to provide infrastructure and support for cancer clinical trials in developing nations that have a significant burden of cervical cancer.The CCRN reports to and is guided by the Executive Board of Directors of the GCIG. This Board has regularly scheduled teleconferences and semi-annual meetings. The chair and co-chair of the CCRN are elected for 3-year terms by voting members. The chair of the CCRN serves on the Executive Board of the GCIG and a formal report of activities and progress is made to the membership at the General Assembly at each semi-annual meeting.The mission of the CCRN was formulated by the committee chair and participating members. The literature was evaluated for best practices for clinical trials within gynecologic cancers, with emphasis on methods for low- and middle-income countries in which clinical trial resources are often limited. The CCRN then developed standard operating procedures (SOP) to evaluate potential participating sites to ensure appropriate infrastructure prior to clinical trial enrollment. The principal investigators of the CCRN trials normally select potential sites. The SOP workflow is demonstrated in Figure The SOP includes a pre-qualifying questionnaire to evaluate clinical activity, site resources, clinical trials infrastructure, radiation therapy treatment records, radiotherapy quality assurance, and clinical management documentation Table . AdditioFor potential study sites deemed eligible after the pre-qualifying survey, a site visit must be performed by an audit team to evaluate the appropriateness and readiness to participate in CCRN trials. Infrastructure, the physical plant, and human resources are evaluated to ensure that clinical trial participation can succeed. The audit team typically includes one clinical specialist and one clinical trials manager. Various measures of quality assurance are performed, depending on the requirements of the available clinical trial. To date, the CCRN has received limited funding from the International Gynecologic Cancer Society (IGCS) and the GCIG, as well as support from the NCI.To date, 13 different CCRN site visits have been performed. Of these 13 sites visited, 10 have been approved as CCRN sites including Tata Memorial Hospital, India; Bangalore, India; Trivandrum, India; Ramathibodi, Thailand; Siriaj, Thailand; Pramongkutklao, Thailand; Ho Chi Minh, Vietnam; Blokhin Russian Cancer Research Center; the Hertzen Moscow Cancer Research Institute; and the Russian Scientific Center of Roentgenoradiology. Approval with contingencies has been granted to sites in Cluj, Romania, and Minsk, Belarus.Through significant efforts within the Cervix Cancer Committee at the GCIG, four multi-national cervical cancer clinical trials suitable for both developed and developing nations have successfully been opened.The Tri-weekly Administration of Cisplatin in LOcally Advanced Cervical Cancer Trial , developed by investigators from the Korean Gynecologic Oncology Group (KGOG) and the Thai Cooperative Group, is a randomized phase III study that compares weekly chemotherapy for advanced cervix cancer to every-3-week chemotherapy. Preliminary data from a phase II trial by the KGOG suggest that every-3-week chemotherapy may confer a survival benefit .The OUTBACK Trial is led by investigators from the Australia/NewZealand Gynecologic Oncology Group (ANZGOG). This study is a randomized phase III trial evaluating the efficacy of extended adjuvant chemotherapy in women with advanced cervix cancer compared to the standard of weekly cisplatin chemotherapy and definitive radiotherapy. The OUTBACK chemotherapy consists of four cycles of carboplatin and paclitaxel chemotherapy administered after standard concurrent chemoradiotherapy. The rationale for the study is a meta-analysis of several studies that showed adjuvant chemotherapy to be a promising approach .The INTERLACE Trial is headed by the National Cancer Research Institute (NCRI) from the United Kingdom. This is a randomized phase III study evaluating neoadjuvant chemotherapy prior to concurrent chemoradiotherapy for women with advanced cervix cancer compared to concurrent chemoradiotherapy alone. The goal of this study is to improve compliance with additional chemotherapy by giving it before standard chemoradiotherapy, as opposed to after standard chemoradiotherapy.The SHAPE Trial is spearheaded by investigators from the NCIC Clinical Trials Group in Canada. This randomized phase III trial is evaluating radical hysterectomy versus simple hysterectomy in women with early-stage cervix cancer. The primary endpoint is freedom from pelvic failure.Each approved CCRN site chooses to participate in one or more of the four available clinical trials. To date, 48 patients have been enrolled.The greatest burden of cervical cancer is in developing countries, particularly parts of Africa, Central and South America, Eastern Europe, India, and other parts of Asia . The outThere are many challenges in conducting multi-national clinical trials, particularly in low-resource settings , 15. HumIn spite of these real and complex challenges, there are tremendous opportunities to enhance clinical trials results and improve cervical cancer outcomes through collaboration, creativity, and persistence. Rapid improvements in technology, particularly internet-based approaches, have made communication and quality assurance checks more feasible, timely, and cost-effective. Investments in research training and infrastructure development have the potential to influence not only cervical cancer clinical trial involvement but also standard care and care for other types of cancers. While sophisticated translational trials involving complex imaging and biomarker measurement will be confined to core GCIG settings, pragmatic trials that are aimed at defining worldwide standard of care, as well as trials directed at practices in low- and middle-income countries, are within the capability of the CCRN.In summary, the CCRN has developed a methodology to evaluate potential clinical trial enrollment sites in low- and middle-income countries to make cervical cancer clinical trials available in countries with the highest burden of disease. The CCRN has successfully enrolled 10 sites in developing countries to participate in four randomized clinical trials. The primary objectives are to provide novel therapeutics to regions with the greatest need and to improve the validity and generalizability of clinical trial results by enrolling a diverse sample of patients, with the ultimate goal of improving outcomes from cervical cancer worldwide.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Despite major advances in the treatment of hematological diseases over the last decades, allogeneic hematopoietic stem cell transplantation still remains the only curative option for many of them. According to the recent survey of the European Society of Blood and Marrow Transplantation (EBMT), nearly 15\u2009000 alloHSCT are currently performed each year across Europe and EBMT-affiliated countries (Approximately 50% of these patients will develop a major late complication \u2013 chronic graft-vs-host disease (cGVHD), a multi-organ allo- and auto-immune disorder affecting the skin, lungs, mouth, liver, eyes, joints, and gastrointestinal and genital tracts -4. As a Chronic GVHD can last for many years causing severe medical, social, and quality of life problems, as well as significantly impacting health-related costs and health care management. A recently published report from the Center for International Blood and Marrow Transplant Research has identified a clear increase in the incidence of cGVHD from 1995 to 2007 due to the more frequent use of peripheral blood graft instead of bone marrow, unrelated donors, and older recipients Consensus classification was developed in 2005 and prospectively validated ,6-10. HoThe German-Austrian-Swiss cGVHD consortium assessed the usefulness of the NIH criteria in routine clinical practice and reported high rates of acceptance for definitions of cGVHD, as well as overall and organ-specific NIH cGVHD severity scoring among the vast majority of participants . An inteTherefore, there has been significant research activity and renewed interest in cGVHD in the world over the last decade. It is likely that the current better characterization of cGVHD, standardization of research tools, and numerous new treatment opportunities will lead to improved clinical outcomes, such as clinical symptoms, function status, quality of life, morbidity, and survival.However, not a single agent has yet been approved for cGVHD prevention or treatment, neither by the US Food and Drug Administration (FDA) nor by the European Medicines Agency (EMA). The current standard front-line steroid therapy has a 50% failure rate with significant toxicity, and there are no standards for second-line (and beyond) therapeutic options.Croatian Medical Journal presents several excellent articles that are a product of these enhanced international collaborations and efforts by teams across Europe to address cGVHD.The focus now in this field is on further in-depth study of the biology of cGVHD, developing and validating new biomarkers, and pursuing clinical trials of new agents that would eventually develop pathways to their FDA and EMA regulatory approvals. The aim is to develop more effective, less toxic, and more targeted treatments that will not interfere with the beneficial graft-vs-tumor effects. To advance this field and break the 30-year-old suboptimal treatment paradigms, the goal is that each cGVHD patient should be either treated in a clinical trial or at least should be documented within a registry capturing essential clinical data on the course of cGVHD. The tools and opportunities to harness cGVHD and create better and safer alloHSCT are in our hands right now. This issue of the Acknowledgment This work is supported by the Unity Through Knowledge Fund project entitled \u201cClinical and Biological Factors Determining Severity and Activity of Chronic Graft-Versus-Host Disease after Allogeneic Hematopoietic Stem Cell Transplantation.\u201d The opinions expressed here are those of the authors and do not represent the official position of the National Institutes of Health or the US Government."}
+{"text": "In 2014, the World Health Organization (WHO) declared two \"public health emergencies of international concern\", in response to the worldwide polio situation and the Ebola epidemic in West Africa respectively. Both emergencies can be seen as testing moments, challenging the current model of epidemic governance, where two worldviews co-exist: global health security and humanitarian biomedicine.The resurgence of polio and the spread of Ebola in 2014 have not only exposed the weaknesses of national health systems, but also the shortcomings of the current global health regime in dealing with transnational epidemic threats. These shortcomings are of three sorts. Firstly, the global health regime is fragmented and dominated by the domestic security priorities of industrialised nations. Secondly, the WHO has been constrained by constitutional country allegiances, crippling reforms and the limited impact of the (2005) International Health Regulations (IHR) framework. Thirdly, the securitization of infectious diseases and the militarization of humanitarian aid undermine the establishment of credible public health surveillance networks and the capacity to control epidemic threats.th World Health Assembly address these fundamental issues.The securitization of communicable diseases has so far led foreign aid policies to sideline health systems. It has also been the source of ongoing misperceptions over the aims of global health initiatives. With its strict allegiance to Member States, the WHO mandate is problematic, particularly when it comes to controlling epidemic diseases. In this context, humanitarian medical organizations are expected to palliate the absence of public health services in the most destitute areas, particularly in conflict zones. The militarization of humanitarian aid itself threatens this fragile and imperfect equilibrium. None of the reforms announced by the WHO in the wake of the 68The online version of this article (doi:10.1186/s13031-015-0058-1) contains supplementary material, which is available to authorized users. Margaret Chan, Director General of the World Health Organization (WHO), declared a public health emergency of international concern after consultation with an Emergency Committee of experts convened under the provisions of the revised (2005) International Health Regulations (IHR) . F. Fth rev the BWC , while i the BWC . The pro the BWC , 31.TablThe case of Syria is illustrative of the limitations imposed by UN mandates on the capacity of the WHO to ensure adequate public health responses in areas of civil conflicts . UN agenArmed conflict that flies in the face of international humanitarian law. Civil unrest. Migrant populations. Weak border controls. Poor routine immunization coverage. Bans on vaccination by militant groups. And the targeted killing of polio workers\u201d [The setbacks of the Global Polio Eradication Initiative in its final stage could have been anticipated precisely in those conflict zones where access and trust are paramount. However, new counter-terrorism and foreign policies of Western coalitions are enmeshing humanitarian action into international security agendas, which can discredit the neutrality of all humanitarian actors, for example when relief and health care are provided to secure the acceptance of counter-insurgency operations , 40. Theworkers\u201d . Ironicaworkers\u201d .A consensus has emerged to say that the disastrous situation in Guinea, Liberia and Sierra Leone reflects the disarray of national health systems and a vacuum in global health governance , 44. Witth World Health Assembly consist in: (i) integrating WHO outbreak and emergency response units, (ii) the creation of a global health-emergency workforce, (iii) setting up an emergency contingency fund, and (iv) advancing the research and development of medical products for infectious diseases of epidemic potential, and (v) strengthening health systems. One could muse over the fact that such measures are belated, obvious or simply represent an attempt to resurrect similar assets dismantled by a recent round of crippling reforms. More than with circumstantial resolutions, global health would be served by genuine reforms of the current regime, emphasizing universal health values instead of security and diplomacy interests. This would entail a new constitutional mandate for the WHO. Reflecting on the future of global health governance, Lawrence Gostin has called for a new Framework Convention on Global Health [It is uncertain how the current global health security regime will evolve , particul Health . With a th World Health Assembly address these fundamental issues.The setbacks of the Global Polio Eradication Initiative and the delayed control of the Ebola epidemic in West Africa reflect a fragmented approach to outbreak preparedness. More broadly, they point to profound flaws in the current regime of global health governance, which is guided by foreign affairs and security policies. The securitization of communicable diseases has so far led foreign aid policies to sideline health systems. It has also been the source of ongoing misperceptions over the aims of global health initiatives. With its strict allegiance to Member States, the WHO mandate is problematic, particularly when it comes to controlling epidemic diseases. In this context, humanitarian medical organizations are expected to palliate the absence of public health services in the most destitute areas, particularly in conflict zones. The militarization of humanitarian aid itself threatens this fragile and imperfect equilibrium. None of the reforms announced by the WHO in the wake of the 68"}
+{"text": "In this case, calcium-phosphorus index of animals\u2019 enamel, with high caries resistance, have no significant differences with the calcium-phosphorus index of human enamel rather, it is even lower.Investigation of the structure and morph-chemistry of enamel and dentin should ultimately lead to development of effective caries prevention strategies. Accordingly, we have studied the nanostructure and morph-chemistry of teeth utilizing X-ray microanalysis, scanning electron microscopy and atomic force microscopy and tunneling. The results suggest that the surface of primary and permanent teeth enamel is not as smooth as previously considered. Rather enamel surface has apertures which are conducive to realization of morphological and chemical processes. Detailed examination of the enamel surface reveals that most of anatomical defects/holes do not end blindly; rather, they penetrate the enamel surface (resembling \"tunnels\"), branch and intersect each other to form enamel \"bridges\" in dentin. Examination of enamel using atomic-powered and tunnel microscopy not only confirm the presence of these nanostructures, - but also help discern more refined characteristics. Consequently, it appears that the tunnels intersect one another at 90 degrees angle. The morph-chemical examination of enamel reveals differences in the structure of intact compared to carious enamel and dentin. Calcium and phosphorus - are the main structural elements of enamel and dentin. The amount of potassium, sulfur and chlorine increases respectively in caries pathology, while the concentration of sodium, silicon, and especially magnesium decreases. The same pattern is observed for dentin. These observations suggest that high concentration of magnesium increases, while chlorine and sulfur decrease the effectiveness of the protective properties of enamel thereby leading to alteration of caries resistance. Subsequently, we examined teeth obtained from animals. In beaver\u2019s enamel, the content of magnesium is higher (seven fold) compared to those of human. The concentration of chlorine and sulfur are higher in people\u2019s enamel that confirms our previous researches concerning the impact of these elements on the caries resistance level of enamel. Differences in microelements structure, the prevalence of magnesium in beaver\u2019s enamel, determined the differences in microhardness of the enamel. The content of the elements is 1.5 times higher in tooth enamel of beavers than humansIn conclusion, the novel discovery of structural formations and the morph-chemical structure of human and animal enamel may ultimately lead to identification of a new approach to caries prevention and development of new, more effective formulation of oral hygiene products."}
+{"text": "This special issue of the International Journal of Environmental Research and Public Health includes peer-reviewed publications from investigators who participated in this conference.Health disparities have been defined as a particular type of health difference closely linked with social, economic and/or environmental disadvantage. The National Institute on Minority Health and Health Disparities (NIMHD) at the National Institutes of Health, has a comprehensive portfolio of grants that fund scientific research to improve racial/ethnic minority health and eliminate health disparities. The The scientific program included general, and concurrent sessions, panel discussions and poster sessions. The conference also included specialized technical workshops; workshops on collaboration, scientific leadership, grantsmanship, and mentoring; and meet the expert sessions focused on career development for early stage investigators planned in collaboration with NIH staff. The conference offered unparalleled opportunities for networking and exchanging ideas, forging new scientific collaborations, resource sharing and opportunities for specialized training.The 2014 Minority Health and Health Disparities Grantees\u2019 Conference was held 1\u20133 December, in National Harbor, Maryland. The theme of the symposium, State of the Science in Achieving Global Health Equity-Past and Present Advances and Future Directions-highlighting best practices in biomedical, behavioral, population and health policy research that contribute to improvements in US and global health equity among populations who carry the burden of health disparities. Collaborative, sustainable, replicable and culturally appropriate research promoting prevention, reduction and elimination of heath disparities were also discussed;Achieving Health Equity Through a Population Health Research Paradigm-highlighting effective population health interventions that are often multi-sectorial and community engaged; Transdisciplinary Social, Behavioral and Clinical Approaches for Understanding and Achieving Health Equity in Cardiovascular, Cerebrovascular, and Related Peripheral-Vascular Diseases-highlighting ethnic- and racial-specific variations and determinants underlying health disparities in cardiovascular, cerebrovascular and related peripheral-vascular diseases; andTransdisciplinary Collaborations: A Call to Action-highlighting evidenced-based transdisciplinary research approaches to reduce health disparities, and the strategies to promote diversity in the biomedical research workforce.Health disparities have been defined as a particular type of health difference closely linked with social, economic, and/or environmental disadvantage. Hence, health disparities adversely affect groups of people who have systematically experienced greater obstacles to health based on their ethnicity or race, gender or sex, age, religion, socioeconomic status, mental health, physical disability, or other relevant characteristics . Health In addition to keynote lectures and panels, 1364 abstracts were presented in thirty concurrent scientific sessions and three poster sessions. Research presented spanned a variety of disease areas-cardiovascular, diabetes, obesity, cancer, mental health, infectious disease, stroke and other diseases that disproportionately impact health disparity populations. Studies examined the etiology of disparities; the intersection of biological and behavioral risk factors, the physical environment, social determinants of health, and public health and health care system factors in addressing health disparities; and multi-level community interventions and other population-based studies to improve minority health and reduce health disparities. International Journal of Environmental Research and Public Health is dedicated to the publication of selected peer-reviewed manuscripts resulting from conference presentations. Highlights on a few of these research papers are as follows:This special issue of the Carriere and collaborators studied Ala54Thr) polymorphism of the fatty acid binding protein 2 (FABP) on HDL cholesterol in Mexican-Americans with type 2 diabetes (T2D). They found that the Thr54 allele carriers who were heterozygous or homozygous for the threonine-encoding allele had lower HDL cholesterol and higher triglyceride levels at baseline compared to the Ala54 homozygotes. They concluded that the Ala54Thr polymorphism of FABP2 modulates HDL cholesterol in Mexican-Americans with T2D and that Thr54 allele carriers may be responsive in interventions that include dietary changes.Salto and collaborators conductein-vitro study results that targeting the gain-of-function pathways may improve treatment efficacy when R248Q mtp53 proteins are expressed in TNBC.Shtraizent and collaborators performeMiranda-Diaz and collaborators investigIn a retrospective epidemiologic study, Holmes and collaborators investigUsing the Jackson Heart Study as a model, Addison and collaborators highlighUsing both GIS and regression analysis models, Mathis and collaborators conducteWe would like to thank the conference organizing committee, scientific review committee, other conference committees and staff, and the National Institute on Minority Health and Health Disparities leadership and staff for their contributions to making the conference a success and publication of this special issue possible."}
+{"text": "The increase in body weight is a serious global public health problem, with high risk of associated diseases such as diabetes, cardiovascular disease, hypertension, and some forms of cancer. The option for foods with high energy value but poor in micronutrients increases the nutritional status and contributes to the deficiency of important minerals in human health. The use of minerals, among them calcium and magnesium, to control body weight has been the object of several studies.The purpose of this study was to investigate the effect of with the calcium and magnesium supplementation in diets offered to Wistar rats.A biological assay was conducted with 24 animals, distributed in four groups of six. The control group (GI) received feed prepared according to the AIN-93G standard ; the calcium-supplemented group (GII) received this diet containing approximately four times this mineral; the group supplemented with magnesium (GIII) received approximately four times this mineral; and the lipid-supplemented group (GIV) received it with a 14% addition of vegetable oil, but no mineral supplementation. The diets were isocaloric . The variables measured were weight, feed efficiency coefficient, liver and kidney histology, and the following laboratory parameters: total cholesterol (TC), high-density lipoprotein (HDL), low-density lipoprotein (LDL), triglycerides (TG), and serum calcium and magnesium levels.After 35 days, the GII animals showed the lowest level of feed efficiency, when compared with the other groups, and consequently exhibited lower body weight, with a significant increase in VLDL, TG and serum calcium levels and a decrease in serum magnesium. The morphological analysis of liver and kidney revealed tissue damage in all groups that received supplementation.The supplementation with calcium proved a possible resource for body weight control, in contrast with that observed in the animals that received magnesium supplementation, whose results were similar to those of controls."}
+{"text": "Background.\u2003Following the 65th World Health Assembly (WHA) resolution on intensification of the Global Poliomyelitis Eradication Initiative (GPEI), the Nigerian government, with support from the World Health Organization (WHO) and other partners, implemented a number of innovative strategies to curb the transmission of wild poliovirus (WPV) in the country. One of the innovations successfully implemented since mid 2012 is the WHO's engagement of surge capacity personnel.Methods.\u2003The WHO reorganized its functional structure, adopted a transparent recruitment and deployment process, provided focused technical and management training, and applied systematic accountability framework to successfully manage the surge capacity project in close collaboration with the national counterparts and partners. The deployment of the surge capacity personnel was guided by operational and technical requirement analysis.Results.\u2003Over 2200 personnel were engaged, of whom 92% were strategically deployed in 11 states classified as high risk on the basis of epidemiological risk analysis and compromised security. These additional personnel were directly engaged in efforts aimed at improving the performance of polio surveillance, vaccination campaigns, increased routine immunization outreach sessions, and strengthening partnership with key stakeholders at the operational level, including community-based organizations.Discussion.\u2003Programmatic interventions were sustained in states in which security was compromised and the risk of polio was high, partly owing to the presence of the surge capacity personnel, who are engaged from the local community. Since mid-2012, significant programmatic progress was registered in the areas of polio supplementary immunization activities, acute flaccid paralysis surveillance, and routine immunization with the support of the surge capacity personnel. As of 19 June 2015, the last case of WPV was reported on 24 July 2014. The surge infrastructure has also been instrumental in building local capacity; supporting other public health emergencies, such as the Ebola outbreak response and measles and meningitis outbreaks; and strengthening the integrated disease surveillance and response. Due to weak health systems in the country, it is vital to maintain a reasonable level of the surge capacity for successful implementation of the 2013\u20132018 global polio endgame strategy and beyond. In May 2012, the 65th World Health Assembly (WHA) resolved to intensify the Global Polio Eradication Initiative (GPEI) and declared the completion of poliovirus eradication a programmatic emergency for global public health , 4.In October 2011, Nigeria announced the establishment of a Presidential Task Force on Polio Eradication to provide highest-level leadership to the national effort to guide the polio eradication initiative (PEI) back on track. The task force oversaw a number of initiatives aimed at rapidly achieving the goal of interrupting poliovirus transmission within the shortest time possible. However, an in-depth review of the performance of polio eradication activities in the highest-risk states and local government areas (LGAs) indicated that the high-level commitment at federal and state level did not always translate into improved program quality at the operational level . The 23rThe health system in Nigeria faces multiple challenges, including poor healthcare infrastructure, underfunding of programs, frequent strikes by health workers, and weak oversight at the lower levels \u201310. In rFurthermore, in January 2012, Nigerian high level government officials visited India to review factors that contributed to the successes in the polio eradication efforts in that country . One of The World Health Organization (WHO) team in Nigeria has a broad range of public health practitioners comprising physicians, epidemiologists, pharmacists, logisticians, laboratory experts, data managers, communication experts, program managers, and administrative support staff providing technical support for polio eradication, routine immunization (RI), and accelerated control of vaccine-preventable diseases at national and subnational levels. The WHO was uniquely positioned to implement the surge project as per the mandate from 41st WHA and its physical presence in all 36 states of the federation and the federal capital territory . Prior tTo this end, in March 2012, WHO-Nigeria developed a project to substantially increase its technical capacity to support planning, implementation, monitoring, and evaluation of critical PEI activities, particularly in the states, LGAs, and wards (districts) at highest risk for polio transmission, to ultimately achieve interruption of poliovirus transmission within the shortest time possible.In this article, we document the recruitment, deployment, and management processes and how implementation of the WHO's surge capacity project contributed to the improvement of PEI and RI performance indicators.We conducted a retrospective review of publications by global and local PEI partners and working groups, WHO internal documents, secondary sources, and unpublished reports to obtain data for this article.In early 2012, the WHO country office, with input from key stakeholders, submitted a proposal to the Bill and Melinda Gates Foundation to support the implementation of the surge capacity project. Between 2012 and 2015, the Bill and Melinda Gates Foundation allocated $84 million to support the surge capacity project.The surge capacity project focused on 11 states at high risk for polio transmission , selected on the basis of an epidemiological risk analysis. The states were Bauchi, Borno, Jigawa, Kaduna, Kano, Katsina, Kebbi, Niger, Sokoto, Yobe, and Zamfara. The project aimed to support the HR states to achieve and sustain quality supplemental immunization activities (SIAs) required to ensure poliovirus transmission is interrupted, to maintain certification standard acute flaccid paralysis (AFP) surveillance and to improve RI coverage . CriticaThe recruitment process commenced after developing elaborate terms of reference, key performance indicators, and qualification requirements for each position. The WHO communicated the vacancies through internal notices and existing health networks at all levels. Under its overall responsibility, the WHO formed an interagency panel comprising representatives from National Primary Health Care Development Agency, the Nigerian Ministry of Health, and the United Nations Children's Fund to conduct the selection process. The screening included short-listing the applications on the basis of standard scoring criteria, administration of pretraining and posttraining tests, and interviews. Each panel submitted a detailed report on the selection proceedings, along with a list of recommended candidates and their scores, to the WHO central office for approval.The WHO adopted various contract types to facilitate deployment of the surge capacity personnel in the prevailing epidemiological, operational, and security circumstances. Such contract types included staff contracts, characterized by short or fixed terms and mainly involved for central and zonal level staff; special services agreements, which involved nonstaff, were governed by United Nations security regulations, and were used mainly to engage cluster coordinators; and agreements for performance of work, which involved nonstaff , were not governed by UN security restrictions, and allowed flexibility in determining the payment rates and movement of the contract holder.In addition to the training conducted to administer selection tests during the recruitment process, the WHO and partners organized and cascaded trainings. The training package covered topics on the Expanded Program on Immunization and involved field visits to health facilities offering RI and surveillance services, to further perform hands-on practices using the approved RI and surveillance checklists.In 2012\u20132013, the WHO engaged an international consulting firm and conducted a series of management trainings for top- and middle-level managers, including surge capacity personnel with supervisory responsibilities. The training introduced the following concepts: understanding management styles, performance management and accountability, team building and maintenance, objective setting and monitoring performance, handling difficult conversations, coaching for development, and improving creativity and innovative problem solving skills.The WHO officers support efforts to enhance program ownership and oversight, improve immunization operations, and sustain high quality surveillance performance. It is important to provide them with a working environment conducive to providing objective technical and operational guidance to the PEI program. The WHO operational focus is drawn from the national immunization plan, which drives the allocation and deployment of technical assistance, particularly at the field levels. To this end, after close review of the WHO's staffing strength vis-\u00e0-vis the expected technical deliverables, the WHO implemented a series of in-country staff rotation.The WHO used the policy of placing high-quality personnel in the worst-performing LGAs. To this effect, based on a thorough risk analysis conducted in collaboration with national authorities and partners, coupled with the performance assessment results, state- and LGA-level personnel were reassigned biannually to deploy high performers in priority areas .Along with the substantial increase in the number of personnel, it was necessary to strengthen the monitoring and evaluation capability to systematically monitor staff performance. In 2014, the WHO introduced a systematic accountability framework and implemented it in all its field offices, using key performance indicators aided by geographical information systems and mobile device technologies, coupled with periodic supportive supervisory visits to the field . Additional monitoring and evaluation officers, as well as data management personnel, were hired at the central level and in priority zones and states.In March 2012, the WHO made a major adjustment to its functional organogram to establish that adequate technical, managerial, and administrative support systems at all levels to effectively support the enhanced WHO technical infrastructure. The revised structure reflected the WHO's extended presence down to LGA and ward levels after the introduction of the surge capacity. The adjustment further optimized the span of control and supervisory lines.In 2013, the WHO trained 532 cluster coordinators and LGA facilitators and 1 637 field volunteers. Each session took 4 days, using the Expanded Program on Immunization comprehensive package that included polio SIAs, nonpolio SIAs, surveillance, RI, and data management. Specific topics were drawn from the standard operating procedures developed for technical surge personnel . Furthermore, 214 participants received management training, of whom 45 were from government and partner agencies.Following the full implementation of the surge capacity, the human resource strength of the WHO increased by >400%. Table The WHO used agreements for performance of work for >80% of the overall personnel, while 11% and 7% of personnel were engaged under fixed-term and special service agreements, respectively. These cadres possessed a higher technical caliber and were placed in supervisory responsibilities at state, zonal, and central levels.Between August 2013 and July 2014, the WHO undertook various waves of mass rotations that resulted in rotation of 50 high-level technical officers, the majority of whom coordinated zonal and state level activities. The administrative focal points in all 37 field offices were also relocated or reprofiled between December 2014 and February 2015. These periodic movements contributed to enhanced managerial capabilities and fostered staff accountability.Guided by surge capacity deployment optimization analysis and the cumulative feedback during 2014 from the accountability framework, the WHO made necessary adjustments during the 2015 surge capacity deployment. States in northeast zone with persisting security challenges and programmatic priorities were assigned more personnel by shifting staff from states such as Jigawa that had relatively more resources. The current deployment of 2 210 human resources involved in the surge capacity in the 11 HR states is shown in Figure The majority of surge capacity personnel were deployed and became fully functional toward the end of 2012. As highlighted in Figures 3Figure Microplan development is one of the core process indicators for successful and quality immunization campaigns for which the surge capacity personnel are directly responsible. As Figure As of 19 June 2015, cases of WPV infection in the country decreased during 2012\u20132014, with 122 cases in 2012, 53 cases in 2013, and 6 cases in 2014, with the last case reported on 24 July 2014. End-process independent monitoring of polio SIAs showed that 86% of wards achieved 90% vaccine coverage by the end of 2012, which increased to 96% by the end of 2014.With respect to RI indicators, the surge capacity also contributed to the steady improvement in the implementation of fixed and outreach sessions to immunize children. Each state has a goal of conducting 80% of planned fixed and outreach RI sessions. As Figure The WHO reorganized its functional structure, adopted a transparent recruitment and deployment process, provided focused technical and management training, and applied systematic accountability framework to successfully manage the surge capacity project in close collaboration with the national counterparts and partners. The engagement of >2 200 surge capacity personnel has enhanced the WHO's technical capability to contribute to the achievements registered in the intensified PEI and RI activities in Nigeria. Guided by the epidemiological risk analysis and feedback from the accountability framework, the majority (92%) of the surge personnel were strategically deployed in the northern part of the country, which remains a priority from epidemiological, operational, and security perspectives. To facilitate acceptance by the community, the surge capacity personnel were hired from the communities where they resided, using suitable contractual arrangement. The personnel have built up personal relationships with key stakeholders in the community to obtain buy-in for successful implementation of several innovative interventions that have been introduced since 2012.The surge project gave the program an opportunity to use technically competent health professionals who understand the grassroots' cultural and operational context. As such, they are suited to address challenges unique for every local area in the context of the diverse political, social and economic landscape in Nigeria. Their extended presence at LGA and ward levels created the capacity to successfully translate the high-level commitments and strategies into operational levels.The surge capacity is well aligned with the updated WHO functional structure and integrated into the existing health systems in the country. The collaboration with the government and partners in recruitment, deployment of the surge personnel, and collective program reviews at ward, LGA, state, and national levels, coupled with application of WHO's rigorous accountability framework, contributed toward improved program performance. As outlined in the WHO's standard operating procedures, the surge personnel are directly involved in training, planning, implementation, monitoring, and review of the field-level polio campaign performance and timely outbreak investigation and response; active case based surveillance; and intensification of RI activities . Furthermore, the surge capacity personnel have been instrumental in sustaining the program in security-compromised areas, which were not accessible to regular staff.Owing to the weak health system in the country, the surge personnel are also called upon to support other activities, such as nonpolio immunization campaigns, integrated disease surveillance and response, and other disease outbreak investigations and responses .The surge project faces challenges of attrition, mainly because of the implementation of accountability framework and, to some degree, resignations. In 2014, 300 agreements for performance of work were not renewed, because of persistent poor performance [Despite the challenges in recruitment and maintenance of such a large workforce, the partnership coordination and management architecture put in place contributed to maximize efficiency and accountability from ward to national levels .In conclusion, as recommended in the 24th ERC report and the 2012\u20132013 global polio emergency plan, the WHO responded to the call for action and equipped its personnel, including those involved in the surge capacity, with the standardized tools and knowledge to optimize the substantial investment on the project . As statWe recommend the sustenance of the surge project to maintain the polio program's momentum and successful implementation of the polio endgame strategy in Nigeria , 20. As"}
+{"text": "Abscisic acid (ABA) is the master hormone governing the intricate network of molecular switches and physiological responses of guard cells that determine the degree of stomatal aperture. Once plants sense water deficit, ABA is synthesized, and enters the guard cells triggering a series of signals that result in stomatal closure and preservation of the water status of the whole plant. ABA signaling in guard cells involves several mechanisms sustained by enzymes, small molecules, and second messengers that finally promote the inactivation of inward-rectifying K+ channels, activation of outward-rectifying K+ channel, and activation of slow and rapid-anion channels is required for ABA-dependent induction of stomatal closure and (B) negative effects leading to the attenuation of the ABA signaling through the inhibition of key effectors of stomatal closure (inhibition of NADPHox and OST1 by S-nitrosylation). A recently published article adds new in vitro and in vivo evidences showing that the family of ABA receptors PYR/PYL/RCAR is inactivated by nitration of tyrosine residues leading to the degradation of the receptor via proteasome. The non-reversible nitration of tyrosine residues is a post-translational modification of proteins that requires the formation of the strong oxidant peroxynitrite, a compound formed from the fast reaction between superoxide (OAs stated, OST1 is a serine/threonine protein kinase that acts as a positive regulator mediating the ABA-induced stomatal closure through the activation of downstream effectors (Wang et al., Overall, this opinion article tries to recall the already known two sides of the NO \u201ccoin\u201d as a ubiquitous, homeostatic, and synchronizer molecule in cell physiology. Thereby, we highlight here the rationale of NO acting both in promoting and arresting the ABA-induced/phospholipid-mediated signals triggering the stomatal closure, as a way to avoid the exacerbation of a hormonal stimulus. In future investigations, however, it remains to be deciphered if the multi targets of NO are reached simultaneously or through a temporal and spatial pattern of its actions.The analysis, revision of the bibliography and the discussion of the data were conducted by AL, CG, and LL. The manuscript was prepared and written, including round of corrections, by AL, CG, and LL. The design and general supervision was performed by LL.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Microorganisms are common colonizers of superficial (phylloplane) and internal tissues (endophyte) of a variety plant species . PhyllopFor isolation of yeasts, samples leaves, stems and flowers of B. dracunculifolia were colected; 10 g were macered in 90 mL of saline solution and dilutions of the suspension were spread in solid medium BDA and TSA. After purification and preservation, the isolates were characterized by colony morphology and grouped. Isolates representant of each group were subsequently identified by molecular techniques based on the amplification and sequence analysis of ITS1-5, 8S-ITS2 rDNA. For evaluation and screening of potential enzymes producers, enzymatic activity was performed in solid media . ProteolWere obtained 69 isolates, being 74% of these isolates of yeasts and yeast-like fungi. On the basis of on colony morphology the isolates were grouped into four morphotypes . The majority of the isolates was originating from samples of flowers and showed black colonies on PDA media. By analysis of ITS1-5,8S-ITS2 rDNA sequences in Genbank database, the isolates were identified as members of the species Starmerella bombicola, Aureobasidium leucospermi, A. pullulans, Rhodotorulla mucilaginosa and Occultifur externus. The isolates were promissing for enzyme production, specially for amylolytic and lipolytic activities which were predominant among the isolates. The most promising isolates were belonging to the genus Aureobasidium sp., which showed activities for the five enzymes tested. The isolates identified as promising for the production of enzymes, especially those of the genus Aureobasidium sp. were selected for more specific analyzes aimed at quantification and perfecting of culture conditions that allow greater production and can contribute to to the development of alternatives to enzymes already available in market."}
+{"text": "Under current conditions of development of health care and generally mankind, prevention of healthcare-associated infections (HAI) is one of the global world problems.Prophylaxis of HAI in Russia.Epidemiological, statistical.HAI affect 5-10% of patients staying at in-patient departments and rank the tenth place among the causes of population mortality. Annually according to the data of official statistics in Russia approximately 30,000 of HAI cases are registered but the experts consider their actual quantity to be not less than 2-2,5 mln of people.Under current conditions in Russia \u201cNational Concept of Prevention of Health Care Associated Infections\u201d (2011) was enacted and is valid. The present concept was developed by specialists of Federal Service for Surveillance on Consumer Rights Protection and Human Well-being, famous scientists and health professionals, and it determines the purpose, principles, general architecture, major improvement concepts of national system of health care associated infections prevention, its functioning mechanisms and also expected social-and-economic effect.Taking into account absence of specific means and prevention issues solution methods one of the most important concepts of HAI control is improvement of disinfection and sterilization methods. This concept in Russia is particularly significant due to wide spread of microorganism with high resistance to the effect of majority of antibiotics and antiseptics groups, development of modern technologies , building and reconstruction of centralized sterilization in-patient departments with updated equipment for washing and disinfection of medical products and endoscopic devices.None declared."}
+{"text": "Low levels of bilirubin exert antioxidant effects, but some neonates may develop very high levels of unconjugated bilirubin (UCB), with an increase of the unbound free fraction at the time of insult exposition is supposed to influence the location of selective brain damage, as well as the severity of consequences . The cliTo avoid neurological consequences, the Clinical Practice Guideline of the American Academy of Pediatrics recommend total bilirubin determination (TSB) on every jaundice infant, both during hospital stay and post discharge follow-up. To this goal, Bilistik , a new mEarly neuronal accumulation of bilirubin in damaged regions and its brain metabolism may have a role in the marked regional differences observed in kernicterus impairment. This hypothesis is supported by the role of brain cytochrome P-450 (Cyp), known to oxidize UCB. In the brain of Gunn rats, an early upregulation of Cyp mRNAs was observed in the unaffected brain regions, cortex and superior colliculus, in contrast to the delayed and slight upregulation observed in the affected regions, inferior colliculus and cerebellum , where Uin vitro and challenged with bilirubin in controlled (concentration/timing) manner, strictly modelling different histopathological aspects of neurological conditions.Clarification of pathophysiology of UCB neurotoxicity, that continues to be an important risk among newborns worldwide, may open new perspectives for therapeutic approaches, focused in protecting directly the brain, the final target of bilirubin toxicity. To this aim the development of new research models, appear of particular relevance. Among them the organotypic brain cultures, living slices of the CSN that can be cultured"}
+{"text": "The clinicalstudies establish the absorbed doses in organs, by improving the compartimental models andallowing the prescription of the activities (amount of radiation) to be administered tohumans. Both in preclinical and in clinical studies, quality control ofradiopharmaceuticals labelling is one of the steps in the quality assurance system, whichis mandatory for registry in the Health Regulatory Agency . Thebiological effects of ionizing radiation in Medicine were identified by biodosimetry inroutine or in non-planned situations. In industrial applications, accidents have beenreported. Treatments of radiological victims in different contexts, includingreconstructive dosimetry for cutaneous radiation syndrome (CRS), should be obligatorydisciplines in the professional curricula of the multidisciplinary teams. The low-intensityred and infrared laser effects are increasing in Regenerative Medicine, nevertheless theassociated risks are unknown and there is a lack of safety requirements. Eight paperspresented in the SBBN Congress were selected to be published in the Brazilian Journal ofMedical and Biological Research, Volume 48(10), 2015.In the last two decades, the applications of ionizing and non-ionizing radiation in Biologyand Medicine have been improved considerably in Brazil. The 2014 SBBN Congress, entitled\"Framework, science and technology for preclinical and clinical studies with ionizing andnon-ionizing radiation\", was held in Caxambu, MG, during the XXIX FeSBE Annual Meeting.About 50 posters were presented in Radiobiology, Radiopharmaceuticals, Radiationprotection, Biophotonics and Photobiology. For new radiopharmaceutical developments, thepreclinical studies were essential because the \"2014 SBBN Congress President"}
+{"text": "To analyze the relations between the meanings of working and the levels of doctors work well-being in the context of their working conditions. The research combined the qualitative methodology of textual analysis and the quantitative one of correspondence factor analysis. A convenience, intentional, and stratified sample composed of 305 Spanish and Latin American doctors completed an extensive questionnaire on the topics of the research. The general meaning of working for the group located in the quartile of malaise included perceptions of discomfort, frustration, and exhaustion. However, those showing higher levels of well-being, located on the opposite quartile, associated their working experience with good conditions and the development of their professional and personal competences. The study provides empirical evidence of the relationship between contextual factors and the meanings of working for participants with higher levels of malaise, and of the importance granted both to intrinsic and extrinsic factors by those who scored highest on well-being. The research focuses on the social, organizational, and psychological effects of new, unstable, and fragmented employment, especially in Latin-American countriesAs the labor world is a fundamental scenario of people\u2019s psychological experience, the social and organizational changes in working conditions similarly affect workers\u2019 labor subjectivity, social working relations, professional ethical values and meanings, occupational health, job satisfaction, and work well-being levels.,Research on the meaning of working, work values, and working life is heterogeneous,,,,,,,,,,The literature about the different types of work well-being is extensive and diverseContemporary work well-being theories are greatly influenced by the ideas of Warr and his ecological modelThese changes,The Brazilian Federal Constitution from 1988 created the foundations of a Unified Health System , which defined health as \u201ceveryone\u2019s right and duty of the State\u201d. However, access to health services is not as easy for every citizen, for multiple reasons, as significant social and economic inequalities, disparities between states, deficit of public investment in health infrastructure, public subsidies to the private sector, double coverage of health services for a privileged minority, and the asymmetric distribution of funding SUS between the public and private sectors. All these features greatly affect the quality of the health system and the conditions of medical workth century, among them the creation of the Ministry of Health, Welfare and Social Security in 1924 and of the National Health Service in 1952. The 1981 Reform condensed and summarized the difficult balance between two conflicting tendencies: the movement for the recovery of public health system eroded by the dictatorship and the neoliberal insistence on cutting public spending. At the beginning of this century, new reforms were implemented concerning social rights in health, reorganization of the hospital network, and universal mandatory health plans regulated by the State. In contrast, funding for the system drags large deficits that involve job insecurity, deteriorating working conditions and low quality of work life for the health professionalsThe Chilean health system has a long history marked with milestones along the 20The Colombian health system of the past decades is the heritage of the strengths and weaknesses of Law 100/1993 and its successive reforms of 2007 and 2011. Law 1,752/2015 introduced a new regulation of the fundamental right to health and a new general social security health system. The underlying problems that have been dragging Law 100 were caused by conflictive visions of health as a source of business and as a fundamental rightFor its part, the current Spanish health system reflects the tension between hardly compatible objectives and strategies: the goal of excellence in managing the health systemMisi\u00f3n Barrio Adentro, which includes modules and Comprehensive Diagnostics Centers (CDI). This policy tried to increase the coverage of health services for the poorest populations. However, it failed to focus on fundamental problems of the Venezuelan health systemThe Venezuelan health system consists of a network of hospitals and clinics financed by the State or by private systems. In the 2000s, the government created a network of health centers and outpatient clinics as part of the The background of the present study consists of the changes in Latin-American and Spanish health systems, the value transformations in health care professionalism, and the growing work overload and job insecurity in flexible jobs within current medical working conditions. In this context, the objective of this research was to analyze the relations between the meanings of working and the levels of doctors work well-being in the framework of their working conditions.This study combined two approaches: one qualitative, with keywords concerning the meanings of working; and one quantitative, using a self-report survey made up of a battery of scales measuring well-being at work and working conditions.Pragmatic and epistemological reasons led researchers to seek a compromise between random and convenience sampling. This study combines a long questionnaire, a target-group with little time available to complete it, and a remarkable diversity of contexts among countries regarding opportunities and restrictions in access to random samples. This set of circumstances would determine a very low response rate in random sampling, with consequent problems of statistical representativeness. Following the principles of Grounded TheoryWe conducted a homogeneous collective concerning type of service and professional sector (medicine) composed of 305 professionals employed in hospitals or other large and complex health centers in Brazil, Chile, Colombia, Venezuela, and Spain. The collective was also somewhat heterogeneous, as all the participants were recruited by convenience, intentional, and stratified sampling, according to six criteria: gender, generation, country, type of contract, seniority in the organization, and whether they had management responsibilities. About half of this group was male, mean age was 42 years, around 40.0% worked in Spain, and the others belonged to various participating Latin-American countries . Seventy-five percent of the participants had stable employment contracts, the juniors and seniors in the organization were equally distributed, and one third had experience in health care services management.The general tool to collect data was a self-report survey, which also included items concerning sociodemographic information. To analyze the meanings of working, this questionnaire included a free-word association item that invited people to write four keywords defining their current work experience. For the quantitative variables, a standardized battery of scales including the Working Conditions ScaleThe section concerning working conditions included 44 closed items. It was designed according to a theoretical model that configures working conditions around a three-way relationship of the organization with the method, the environment, and the person. A principal component analysis showed the existence of six factors, related to material and social environments, regulation and development methods, organizational adjustment to the person, and adaptation of the person to the organization. The six scales of the theoretical model represented by these factors were rated on an 11-point Likert scale ranging from 0 to 10 .The Questionnaire of General Labor Well-being included a series of 55 closed items organized according to a theoretical model of general work well-being. Factor analysis yielded two independent factors: the first one, called Psychosocial Well-being, comprised three scales measuring affections, skills, and expectations; and the second one, Collateral Effects, contained three scales evaluating somatization, exhaustion, and alienation. The affections and skills scales had a semantic differential format, ranging from 1 to 7; the expectations scale had a Likert format, ranging from 1 (low) to 7 (high). The three collateral effects scales ranged from 0 (never) to 6 .All scales showed high internal consistency, with Cronbach\u2019s alpha values ranging from 0.80 to 0.97. The psychometric study indicated that the overall instrument reproduced the structure of the proposed theoretical models, and that it was a measurement tool particularly sensitive to the psychosocial dimension of working conditions and of work well-being of health care professionals, and to evaluate the bipolar nature of their well-being experience.For the qualitative analysis, we used a dual pathway of textual and content analysis, and for the quantitative analysis, we combined descriptive statistics and factorial correspondence analysis, which shows relationships in a set of categorical variables from the contingency table data.,For the textual analysis of lexical forms associated with working experience, we performed thematic analysis of the corpus of data collected sequentially, combining two procedures: bottom-up data classification without adjusting to existing coding frames and top-down recoding, based on a theoretical framework. The result of this process was a dictionary drawn from all the original words of the questionnaire, which was based on a theoretical perspective, facilitating the analysis and discussion of its contents. This theoretical framework was grounded in the burnout and engagement modelsIn an initial coding level, general codes related to the malaise and well-being axes were constructed. The categories associated with the malaise pole were negative working conditions, discomfort, exhaustion, cynicism (negative attitude towards the organization), depersonalization (negative treatment of people), and (self-)inefficacy. The categories linked to the well-being pole were positive working conditions, well-being, vigor, commitment, good relationships, personalization, and efficacy., exhaustion, lack of commitment, depersonalization, and inefficacy. The remaining 11 codes have positive connotations: good (socioeconomic) conditions, opportunities, satisfaction, well-being, empowerment, commitment, ethics, good relations, plenitude, efficacy, and competences. We created an additional category that grouped a low percentage of non-specific responses.In a second level of categorization, specific codes were designed including words that condensed groups of meanings from the original terms. This list includes 25 codes, 14 of them with negative connotations: overwork, bad management, disorganization, bad environment, injustice, inappropriate work, lack of resources, instability, dissatisfaction, malaiseThe Ethics Committee of the Autonomous University of Barcelona approved this study. All participants signed an informed consent form. Moreover, in all cases, we applied the international rules on confidentiality of participants and institutions, safeguarding the anonymity of responses, commitment to returning results, and responsible use of information.All the participants tended to associate medical practice experience in their respective health center to a double type of factors: the valuation of their own working conditions ; and a set of semantic codes, value systems and beliefs rooted in local cultures of each country, but also very influenced by the respective socioeconomic and health policy joints of every place and time. In this regard, the data obtained show a picture characterized by the following major trends in assessment of working conditions: (a) general convergence between countries on scoring averages ranging between 5.5 and 7.5, depending on factors and scales; (b) no statistically significant differences between the various Latin-American groups; (c) almost statistically significant differences (p = 0.054) between the respective averages of Latin-American and Spanish professionals concerning working conditions in general (tending to show above the first collective); (d) significant differences between Latin-American and Spanish on the general factor \u201corganization and individuals\u201d . This means that the Latin-American group recognized more adaptation of individual professionals to their organization . In addition, they perceived a greater degree of accommodation of the organization to the person . The Chilean group showed a special configuration, evaluating their own working conditions close to those of other Latin-American countries scores, but considering their own work experience very close to the Spanish group terms .The corpus of the meaning of working variable consisted of 161 word forms generated by the participants, with frequencies ranging from 45 to 1 and a total of 769 lexical forms. The distribution quartiles obtained from the responses to the General Labor Well-Being Questionnaire formed the continuous variable well-being. We assigned each response to a category , according to the quartile corresponding to its score on the questionnaire.2 (75) = 148.820, p < 0.001) led to rejecting the null hypothesis of independence between the meaning of working and the malaise-well-being quartiles and to accepting the alternative hypothesis: the meaning of working and the malaise-well-being quartiles were significantly related.A Chi-square test and well-being (0.470).The highest relative contributions corresponded to malaise (0.903) and well-being (0.900), which showed that they were well placed in the axis. However, the other modalities of normal and risk were not so well placed. Lexical forms that defined the axis and that were found adequately placed corresponded to the variable meaning of working, but other variables that were also well placed did not contribute to its definition., inefficacy, and dissatisfaction. The pole representing the working experience for professionals positioned in well-being quartile included good conditions and plenitude.To facilitate interpretation of dimension 1, malaise-well-being and their lexical forms, the modalities of the two variables were located on an axis in accordance with their coordinates and absolute and relative contributions. The pole consisting of lexical forms that defined the meaning of working experience for those located in the malaise quartile included bad management, overwork, exhaustionThe axis risk and malaise and their lexical forms were characterized by the higher absolute contributions of the lexical forms dissatisfaction (0.149), overwork (0.128), strengthening (0.119), disorganization (0.106), and depersonalization (0.081). The examination of its coordinates showed that at the upper end of the axis were located lexical forms that defined the meaning of working experience as dissatisfaction (1.311), bad management (1.240), depersonalization (1.081), and strengthening (0.656), whereas at the lower end of the axis were mainly located disorganization (-1.236) and overwork (-0.580).Regarding the profile of the malaise-well-being quartiles, as observed in the column profile, the second axis was defined by the modalities risk (-0.337), normality (-0.179) at one extreme, and malaise (0.248) and well-being (0.236) at the other.At the malaise - well-being pole, the highest relative contribution is strengthening (0.474), and, at the normal-risk pole, disorganization (0.586). These scores indicate that these categories were not well placed on the second axis, and neither was the modality normal.To view the interpretation of dimension 2, risk-malaise and their lexical forms, the modalities of the two variables were placed on an axis according to their coordinates and absolute and relative contributions. On this axis, one pole includes the lexical forms that define the meaning of working experience as disorganization and overwork for those in the risk-normality quartiles. On the opposite pole, the meaning of working experience in the malaise-well-being quartiles was associated with dissatisfaction, strengthening, and depersonalization.The meanings of working for the medical group located in the malaise quartile were made up of lexical forms of job discomfort, showing strong evidence of frustration and exhaustion. The set of words included in this category showed that most aspects involve a negative assessment of working conditions and the management of health facilities. Specifically, work experience was described with the terms: bad management , work overload , exhaustion , inefficacy , and dissatisfaction (disappointment).In contrast, the job experience of medical professionals who were located in the well-being quartile, including extrinsic and intrinsic aspects, was described as working with good conditions and plenitude . Globally, results showed the clear and intense relations between the meanings of working experience and perceived work well-being in the context of specific working conditions.This study overviewed how Latin-American and Spanish doctors construct their experiences and meanings of the complex relationship between work, malaise, and well-being in a changing world of health care systems and services. The research provides information about two main points: (a) the close association between specific working conditions and meanings associated with job well-being and professional performance, and (b) the strong link between the meanings that doctors assign to their professional practice and the general environmental characteristics of the settings and contexts where they work. In this regard, situational diversity explains some differences in meaning, whereas shared contextual background tendencies allows better understanding of detected similarities of work, professional values, and ethical dilemmas.,,-,,The distribution of keywords on the malaise-well-being axis makes evident the relationship between meaning of working and job well-being experienced by medical professionals. On the malaise quartile, work meanings appear closely associated with worse objective and perceived organizational working conditions . In contrast, scores in the well-being quartile were related to perceived good working conditions and to the importance granted to intrinsic and extrinsic factors. The discourses on working and well-being from the surveyed physicians were consistent with data from previous empirical studies,,,,,Two single trends in working conditions were reported by most participants as especially problematic common concerns: emerging job insecurity from the temporal instability of job contracts, and the perceived intensification of work due to task overload, which in the health sector was expressed as attendance pressure, the main psychosocial risk factor of professional burnout,,,,,,,,,The results linking the meanings given to professional experience, job well-being, and working conditions are consistent with the strong association reported between the available material resources of hospitals and the mental health symptoms observed in health care professionals (doctors and nurses),,,,,,,,,,,From a sociological and cultural point of view, the data collected suggest an underlying paradoxical process: the historical tension between differentiation and homogenization megatrends. Literature indicates the structural and manifest differences between countries, concerning general economic, social, political, demographic, cultural and historical backgrounds, state and market structures, and health system administration modelsThe joint impact of these conflicting processes is visible in the meanings given by doctors to their professional practice, closely related to their perception of the quality of their own specific organizational environment. Spanish and Chilean participants shared their respective working experiences, commonly described as an overloaded and monotonous agenda, and bureaucratic, politicized, inflexible, and ineffective management. These professionals considered work overload as the worst of their working conditions and as a main psychosocial risk factor of burnout. Another perceived major cause of professional discontent in the daily routine was job insecurity. Spanish participants with unstable jobs (temporary contract) reported lack of career prospects in a public service systemThe professional practice of Colombian doctors also showed their discomfort with temporary contracts, low pay, difficulties of the public health care system, and frustration for failing to provide good service to the community. Thus, they conveyed a critical point of view about the negative working conditions of medical care, affected by some aspects of the reforms carried out during the past few years. They also expressed a shared belief in the need to seek greater coverage and equity in health services for most people.The meanings given by Venezuelan doctors to their work reflected a difficult experience of tension between vocation requirements and the limited resources to carry out their profession, strongly influenced by the progressive deterioration of the national public health system in recent decades, characterized by lack of supplies for diagnostic tests, lack of medicines, infrastructure problems, and precarious working conditions.,,Over the last few years, the Brazilian government invested in health personnel and infrastructures, developing public health policies. In this context, participants of this country showed a confuse representation of work, which some describe as an uncomfortable experience and others as an opportunity to put professional and ethical principles into practice-,Moreover, within this basic diversity, the various countries also share a more or less successful history of health system reforms. Despite their remarkable variety of achievements and strategies, they were oriented toward the similar main goal of increasing the health system efficiency and redesigning the management and direction of the public health system, health care centers, services, and working conditions of medical professionals. This historical innovation has generated new organizational subcultures and professional practices facing a challenging, difficult, and conflicting cultural combination of values, such as efficiency and empathy, cost-benefit analysis and the Hippocratic path, business and humanism, common good and private benefit, commercial and social demands, managerial and professional priorities, market laws and the personal quality of working lifeThis underlying historical background and cultural matrix is an important explanatory key to the similar meanings constructed by professionals living and working in such heterogeneous settings, crossed by conflicting megatrends. They described their experience of reforms as changes, bureaucratization, politization, or reorganization, and noted certain dominant values of the new model of managing health system, such as flexibility, efficiency, competitiveness, demand-resources, financing, profit, client, quality, or cost-benefit. The shared appraisal of the health system reforms by most respondents to the questionnaire provides evidence of an unbalanced process: perceived positive general advances concerning infrastructural and organizational investments and negative outcomes from the new management of an increasing number of patients and health care professionals.,,,-,,In this way, despite their contextual diversity, doctors from different countries tended to acknowledge certain good organizational, material, and technical working conditions, which allow them to work more and better with patients. However, they expressed also discomfort about work overload, time pressure, and certain ethical and professional strains and dilemmas posed by new organizational demands, economical restrictions, and working conditions. They also criticized reform strategies and practices for being insufficient to promote health and well-being policies for medical and other health care professionals. Thus, they showed the discrepancy between the official rhetoric about the need to develop human talent as a strategic resource in health care organizations and the practical inattention of the psychosocial dimension of medical professional risks and their quality of working lifeAnother link among the common cultural background of the surveyed workers was the manifest centrality of work in their personal and social life and of values of medical professionalism in the entire sample of participants in the study. Participants showed it independently of their present political context, working conditions, relative job satisfaction, or specific organizational circumstances of their professional practice.,,,-,,,,,,,,,,,Our data are consistent with the information provided by the literaturestricto sensu non-epidemiological research enhances our theoretical understanding of current relevant emerging professional experiences in this population. Moreover, the study performed a combination of qualitative and quantitative methodological strategies, using a design of text dictionary and adopting the bipolar malaise-well-being axis. The empirical work promoted the participation of professionals from five countries, focusing on a profession that involves important psychosocial risks. The results point out some aspects to consider in the preventive political agenda aimed at avoiding, eliminating, or minimizing risk factors as well as promoting healthy organizational conditions of the professional medical practice.The present research has limitations and strengths. The adopted theoretical sampling procedure does not allow statistical generalization of the obtained data to the reference population. However, this"}
+{"text": "Those planning, managing and working in health systems worldwide routinely need to make decisions regarding strategies to improve health care and promote equity. Systematic reviews of different kinds can be of great help to these decision-makers, providing actionable evidence at every step in the decision-making process. Although there is growing recognition of the importance of systematic reviews to inform both policy decisions and produce guidance for health systems, a number of important methodological and evidence uptake challenges remain and better coordination of existing initiatives is needed. The Alliance for Health Policy and Systems Research, housed within the World Health Organization, convened an Advisory Group on Health Systems Research (HSR) Synthesis to bring together different stakeholders interested in HSR synthesis and its use in decision-making processes. We describe the rationale of the Advisory Group and the six areas of its work and reflects on its role in advancing the field of HSR synthesis. We argue in favour of greater cross-institutional collaborations, as well as capacity strengthening in low- and middle-income countries, to advance the science and practice of health systems research synthesis. We advocate for the integration of quasi-experimental study designs in reviews of effectiveness of health systems intervention and reforms. The Advisory Group also recommends adopting priority-setting approaches for HSR synthesis and increasing the use of findings from systematic reviews in health policy and decision-making. Health policymakers and managers (henceforth decision-makers), as well as other stakeholders involved in health systems worldwide, routinely face difficult decisions around improving health care and promoting equity. Ideally, decisions and recommendations should be informed by the best available research evidence, which typically comes from systematic reviews of research \u20133. SysteThe Alliance for Health Policy and Systems Research (\u201cAlliance\u201d), a partnership housed within the World Health Organization (WHO), is pioneering support for strengthening capacity for synthesis of health policy and systems research through the establishment of systematic review centres in low- and middle-income countries (LMICs). The need for such a resource is especially acute in these settings due to the limited capacity of individuals, teams, organisations and knowledge systems to support the production and use of systematic reviews . To dateThe work of the Alliance centres complements that of other recent global initiatives. The Evidence-Informed Policy Network (EVIPNet) has actively promoted partnerships at the country level between policymakers, researchers and civil society in order to facilitate both policy development and policy implementation informed by the best scientific evidence available . SimilarAlthough there is growing recognition of the importance of systematic reviews to both inform policy decisions and produce guidance for health systems, a number of important methodological challenges remain and there is a need to better understand the processes supporting the transparent use of review findings in complex health system decisions. In addition, there is a multiplicity of initiatives in the field and better coordination is needed. The Alliance therefore convened an Advisory Group on Health Systems Research Synthesis (\u201cAdvisory Group\u201d) to bring together different collaborations, groups and institutions interested in HSR synthesis and its use in decision-making processes .In this paper, we outline the rationale of the Advisory Group, the six areas of work steering its activities and the guidance it provides to the Alliance and beyond; the paper also reflects on challenges in producing complex HSR syntheses and fostering their use in health systems decision-making.Since 2009, a series of consultative meetings led to the development of recommendations to improve international collaboration on HSR synthesis, with a focus on LMIC needs and capacity building Table\u00a0.Table 2EThe consultative meetings also revealed a landscape of research synthesis in which the focus and activities of organisations varied in terms of the following: (1) content , (2) research questions , (3) geographical focus (high-income countries (HIC) or LMIC)), and (4) capacity building (for supply and/or demand for reviews). The Advisory Group was established to play a central role in advancing the science of HSR synthesis and knowledge translation by developing and strengthening networks among individuals, groups, institutions and collaborations that have an interest in this field. Participating organisations include Cochrane and The Campbell Collaboration, numerous academic institutions and governmental and nongovernmental organisations ).The Advisory Group has evolved to include participants from 17 organizations/networks who convene once every 3 to 4\u00a0months to discuss current challenges and advances related to both producing systematic reviews and drawing on them for guidance on strengthening health systems. The group shares information, identifies where further methodological work or training is needed and builds cross-institutional links, and thereby, with its anchoring at the Alliance and WHO, serves as a global focal point for coordination around the issues.The Advisory Group, together with the Alliance more broadly, has contributed to setting priorities for health systems research on a global scale , 18. TheLimited capacity and issues of financial sustainability of groups in LMICs that undertake systematic reviews are further important challenges identified by the Advisory Group. For example, how can these groups secure core funding, ensure the availability of specialised resources such as information scientist support and statistical tools, strengthen their capacity to undertake the wide range of reviews needed to inform health system decisions and improve their engagement with decision-makers in the review process? Discussions on these issues contributed to the development of the new Global Evidence Synthesis Initiative (GESI), led by an international collaborating group of organisationsAnother important challenge identified by the Advisory Group relates to strengthening the capacity of decision-makers and stakeholders to access, assess and apply HSR evidence in decision-making and to create a \u201cuser-pull\u201d for HSR evidence. The Advisory Group advocates for and supports the development of user-friendly summaries of HSR syntheses and recognises the importance of sensitization workshops for users of HSR syntheses, institutionalised mechanisms for researcher-user interactions and knowledge translation activities. The last involves using knowledge translation tools such as evidence briefs for policy and briefing notes and convening dialogue sessions with decision-makers and stakeholders.For a number of areas within the field of HSR, evidence from quasi-experimental studies forms a substantive component of the overall evidence base for questions on the impacts of interventions. Evidence from quasi-experimental studies may be particularly important for reviews of interventions or exposures whose effects are not, often for practical reasons, easily amenable to measurement using designs based on random assignment of participants or facilities to comparison groups under the direct control of researchers. Quasi-experimental studies, such as regression discontinuity designs, , 23 inteHowever, efforts to integrate quasi-experimental studies into effectiveness review frameworks in both HICs and LMICs are, in general, at an early stage of development \u201328. ThisWith the Harvard School of Public Health, the Alliance organized a workshop in 2013 focused on the following: (1) establishing a taxonomy of quasi-experimental study designs, (2) developing guidelines for systematic review authors on incorporating quasi-experimental studies in reviews, (3) devising strategies to build institutional capacity to support the wider inclusion of quasi-experimental studies in reviews, (4) establishing approaches to translate evidence from quasi-experimental studies for policymakers, and (5) strengthening partnerships between researchers in HICs and researchers in LMICs.One of the outputs of the workshop and the background work commissioned by the Alliance is the identification of five quasi-experimental study designs frequently employed in health systems research: natural experiments, instrumental variable analyses, regression discontinuity analyses, interrupted times series studies and difference studies including controlled before-and-after designs, difference-in-difference designs and fixed effects analyses of panel data .Systematic reviews addressing the full range of health system issues may be useful for decision-making Table\u00a0. HoweverThe EPPI Centre is leading a study, funded by the Alliance, on supporting policy-relevant systematic reviews for health systems. Interviews with policymakers and systematic reviewers have emphasised the importance of connecting these two groups and supporting their mutual engagement with formalised procedures and structures, so as to ensure that their motivations for producing and using systematic reviews are aligned in terms of the urgency and generalizability of products .In addition, members of the Advisory Group are conducting scoping reviews to assess the most appropriate knowledge synthesis methods to answer different types of research questions , 34. Thewww.healthsystemsevidence.org), a database for all types of systematic reviews of HSR. In this database, systematic reviews, and links to their included primary studies, are complemented by a range of other policy-relevant documents addressing health systems, including evidence briefs for policymakers, overviews of systematic reviews, systematic review protocols, economic evaluations and descriptions of health system reforms. The database is available in Arabic, Chinese, English, French, Portuguese, Russian and Spanish; it can be searched using country, region and LMIC filters; it includes links to user-friendly summaries written by other groups. These features make the database a particularly powerful resource for health system decision-makers, stakeholders and researchers. HSE also now includes the beta version for an Intergovernmental Organizations\u2019 Health Systems Documents Portal, developed as a complete inventory of all policy-relevant WHO documents about health systems. Another useful repository is PDQ-Evidence (http://www.pdq-evidence.org), which links systematic reviews of HSR and other health research, overviews of reviews and their included primary studies.The Advisory Group acknowledges the utility and promotes the use of repositories of evidence synthesis in this field, such as Health Systems Evidence (HSE) , was established for this purpose but initially included only reviews of effectiveness. The Advisory Group therefore initiated discussions with PROSPERO regarding how the full range of health systems systematic reviews , the international prospective register of systematic reviews the research domain, for instance human and financial resource constraints for conducting reviews and limited open access to and functionality of databases; (ii) the policy domain, including limited access to HSR systematic reviews and difficulties in assessing both how well evidence syntheses were conducted and how much confidence to have in their findings; and (iii) optimising the linkages between these domains to foster the uptake of findings into policy-making, for instance the alignment of review questions with policy needs and timeliness in the production and uptake of HSR synthesis.Further work of the Advisory Group aims to address these challenges, including capacity development and methods development across these domains. Ongoing work by members of the Advisory Group includes developing norms and standards for qualitative and mixed-methods reviews, building on existing resources , 37 and We argue that early engagement with decision-makers is critical for prioritizing, planning and conducting HSR systematic reviews and for enhancing the relevance and uptake of review findings. In engaging with decision-makers, special attention should be given to the challenge of translating priority policy issues into reviewable HSR questions. Funders of initiatives to strengthen health systems are also a key target audience of the Advisory Group. When designing and funding such initiatives in LMICs, we would suggest that funders take into consideration both available policy-relevant HSR syntheses and the need to build capacity for HSR synthesis.Those conducting reviews should give more consideration, when it is appropriate to do so, to evidence from quasi-experimental studies on the impacts of health systems interventions. Following from this, further development of the methods and standards for incorporating quasi-experimental evidence into reviews is needed. Complementary to developing standards for reviewing is the work of the EQUATOR initiative, which seeks to improve the reliability and value of health research by promoting transparent and accurate reporting of studies and reviews . Given tOverall, the focus on collaborative priority setting for research, judicious choice of study designs and relying on systematic reviews rather than single studies for making decisions about health systems set this work alongside the movement advocating less waste and greater value in biomedical research , 42. We These efforts need continued collaboration and coordination across different organizations, networks and actors. We believe a coordination mechanism like the Advisory Group can fulfil the need for aligning interests, methods and approaches and for securing interest and investments in the field of health systems research synthesis globally.http://www.who.int/alliance-hpsr/projects/hsrsynthesis/en/index.htmlMore information on the activities of the Advisory Group is available at"}
+{"text": "The flow of fluids in complex geometries like porous media plays anNIST Tutorial/Workshop on Lattice Gas and Lattice Boltzmann Methods. The organizer was Dr. Nicos S. Martys of the Building Materials Division. The purpose of this workshop was to familiarize NIST scientists and members of industry with the basic ideas of lattice gas and lattice Boltzmann methods and to inform the audience of recent developments in such computational methods.In August 1995, the NIST Center for Theoretical and Computational Material Science and the NIST Building Materials Division [Building and Fire Research Laboratory (BFRL)] cosponsored a workshop titled The workshop was attended by over 50 participants of which approximately 40 % were from industry, 30 % from academia and 30 % from national laboratories.The Lattice Gas/Boltzmann workshop was held over 2 days and divided into two parts. The first part was a tutorial given by Dr. Hudong Chen of Exa Corporation, Cambridge, Massachusetts. Dr. Chen is a world expert on lattice gas and lattice Boltzmann methods having published over forty papers on this relatively new topic. In this tutorial the basic concepts of lattice gas and lattice Boltzmann methods were introduced. The second part of the workshop was devoted to recent developments in, and applications of, these methods. The following sections include representative sample highlights of the workshop.Dr. Xiaowen Shan of Los Alamos National Laboratory discussed a recently proposed lattice Boltzmann model for simulating multi-component, multi-phase flows by incorporating long-range interactions into the fluid dynamics. It was shown that the equation of state of the fluid could be altered from an ideal-gasto one that matches any specific functional form. When the equation of state is properly chosen, the fluid system will separate into multiple phases each of which still obeys the Navier Stokes equation. The coexistence curve, density profile across a liquid-gas interface, surface tension, and diffusivity in a multi-component system were obtained analytically for this model.Dr. Ray Kapral introduced a lattice gas model describing the mesoscale dynamics of spatially distributed, chemically reacting systems. Results were presented for two examples of such systems. First, chaotic front dynamics that arise from diffusively driven instabilities were described. Second, the dynamics of catalytic oxidation processes on metal surfaces was discussed. In this case, the metal-catalysed oxidation was preceded by the coupling of the reaction kinetics to surface phase reconstruction, and gave rise to a rich variety of pattern formation processes on micrometer to submicrometer length scales. Consequently one could begin to probe fluctuation effects and the breakdown of mean field theories in these systems.John F. Olson in collaboration with Dr. Daniel H. Rothman of the Massachusetts Institute of Technology presented results from lattice gas simulations of two-phase flow through Fontainebleau sandstone. The three-dimensional rock geometry, obtained by x-ray microtomography, was used to investigate complex flows through a natural medium. Results were compared with earlier studies of flow through artificial porous media, and with recent experimental measurements on the same media. These comparisons illuminated the potential and the limitations of these techniques.Dr. Norman Margolus of the MIT Lab for Computer Science discussed his group\u2019s involvement in research on large-scale cellular automata (CA) modeling of physical systems. This research has been part of a long term effort to better match computations to the constraints of physics, with the ultimate aim of effectively harnessing the potential of computer hardware that can take advantage of the uniformity, simplicity, and spatial locality of cellular automata computations. Recent developments in dedicated \u201cCellular Automata Machines\u201d have significantly advanced their ability to efficiently and flexibly model and analyze large-scale cellular automata systems.Bruce Boghosian of the Center for Computational Science at Boston University described a lattice gas model of the nonequilibrium dynamics of microemulsions. The model was based on the immiscible lattice gas of Rothman and Keller , which iThe NIST Tutorial/Workshop on Lattice Gas/Boltzmann Methods provided an opportunity for NIST scientists to learn about state-of-art techniques for the modeling of many complex flow problems. The workshop also provided an opportunity for interaction with many of the world leaders in the field of cellular automata modeling of fluids.There has been ongoing research in the application of lattice Boltzmann methods in the modeling of single and multi-component flow in porous media like bui"}
+{"text": "After the MOEA-based model construction is finished, the system automatically generates appropriate scatter plots, quantifies the relationships, finds differences between the two populations of models, and calculates the statistical significance of those differences.Coregulation of ionic current levels, and specifically the changes that appear to take place in such relationships in response to deafferentation and pyloric dilator (PD), proposed in . In addi"}
+{"text": "BrisSynBio is the Bristol-based Biotechnology and Biological Sciences Research Council (BBSRC)/Engineering and Physical Sciences Research Council (EPSRC)-funded Synthetic Biology Research Centre. It is one of six such Centres in the U.K. BrisSynBio's emphasis is on rational and predictive bimolecular modelling, design and engineering in the context of synthetic biology. It trains the next generation of synthetic biologists in these approaches, to facilitate translation of fundamental synthetic biology research to industry and the clinic, and to do this within an innovative and responsible research framework. BrisSynBio is supported by \u00a313.6 million from Biotechnology and Biological Sciences Research Council (BBSRC)/Engineering and Physical Sciences Research Council (EPSRC), which includes a \u00a33.3 million investment in new state-of-the-art equipment and computing, and significant additional University of Bristol support. BrisSynBio is led by the University of Bristol in partnership with the University of the West of England. It is a multidisciplinary Centre distributed across four Faculties, with an administrative hub in University of Bristol's new \u00a356 million Life Sciences Building . BrisSynBrisSynBio's Director, Professor Dek Woolfson, is one of the U.K.'s leading advocates for advancing and broadening synthetic biology approaches to include biomolecular design and engineering . He has BrisSynBio's scientific focus is on the rational design and engineering of nucleic acids, lipids, peptides and proteins as structural, enzymatic and regulatory components in new biological and bio-inspired systems. BrisSynBio is organized into three research Strands:Strand 1\u2013Enzyme Cascades and Cell Factories: This strand focuses on the isolation, characterization and scalable production of \u2018new-to-science\u2019 natural product-based therapeutics and agrochemicals. A major emphasis is polyketides, the most structurally and functionally diverse family of bioactive natural products known. These molecules represent challenging, frequently intractable targets for synthetic organic chemistry, and as such biosynthesis offers the only generally applicable route to efficient production. Exemplar projects include: engineering Trans-acyltransferase (AT) polyketide synthase (PKS) antibiotic gene clusters to deliver bioactive compounds, led by Willis [Escherichia coli, led by Race [y Willis ; scalabl by Race \u20138; and m by Race .Strand 2\u2013Self-assembled Systems and Minimal Cells: This strand explores using and combining stripped-down biological components and machinery to build virus- and cell-like micro-compartments. It involves the systematic inclusion and networking of engineered biomolecular and cellular components, and gene circuitry to establish biomimetic operations and modules. Achieving this vision depends critically on the construction and design of self-assembled systems, novel representations of synthetic cellularity and re-engineering of minimal cells. Exemplar projects include: developing hybrid peptide-virus nanoparticles for immunology and cell delivery, led by Woolfson [Woolfson \u20134; desigWoolfson ; and engWoolfson .Strand 3\u2013Programming Complexity in Natural Systems: Strand 3 integrates modelling, cell biology and imaging to address the predictable reprogramming and control of single cells, cell populations and cells in multicellular organisms. Applications are envisaged for whole-cell biosensors for the detection, analysis and remediation of aromatic pollutants; the use of engineered cells to control cell populations; and the development of wheat strains with the potential to revolutionize wheat breeding for agriculturally important traits. Exemplar projects include: design and implementation of orthogonal components for transcriptional logic gates, led by Savery [tools for the rational design of synthetic gene circuits [y Savery ; harnessy Savery ; and a sy Savery . The fircircuits .Design and Characterization of Biomolecular Components; Engineering and Modelling across Scales; and Public Engagement and Responsible Research and Innovation. For the second of these, three computational scientists are employed to cover theoretical aspects and computational modelling and simulation. Sophisticated models can help predict the outcome of experiments, and hence inform which experiments are most likely to provide useful outcomes. Additionally, they offer powerful methods for interpreting experimental results. BrisSynBio has built upon existing close relationships between modelling and experimental groups by providing an interface across the scales of modelling that are addressed by different research groups at Bristol so that experimental researchers can readily collaborate with the appropriate group for the scale of problem they are addressing: atomistic molecular modelling and simulation, led by Sessions and co-workers [The Strands are supported by three cross-cutting Themes in: -workers ,3,17; mo-workers ; and coa-workers .fundamental problems, ethics and responsible innovation in the design and engineering of synthetic-biological systems. A philosopher works alongside BrisSynBio researchers, examining what \u2018responsible innovation\u2019 and \u2018ethical science\u2019 mean in practice, as well as fundamental ethical and philosophical questions raised by BrisSynBio's research and synthetic biology activities more broadly. As part of this aspect of BrisSynBio, the Centre and its researchers are proactively involved in a range of public engagement, from traditional science cafes and visits to local schools, to innovations such as Question Time-style panel discussions and supporting a show at the 2015 Edinburgh Fringe [In Theme 3, Kent leads thh Fringe .All of these research activities are underpinned by major new facilities supported through the Centre grant for: high-throughput molecular biology; NMR spectroscopy and peptide synthesis; high-performance computing; microfluidics; FACS; and advanced microscopy and imaging. And to help pave the way to applications, BrisSynBio's current industrial partners include Bruker, GSK, Syngenta and UCB, through which BrisSynBio aims to realize translational outcomes in the areas of fine and specialty chemicals, medicines and healthcare, and wheat breading."}
+{"text": "The national roll-outs of evidence-based psychotherapies in the Department of Veterans Affairs (VA) afford an unusual opportunity to study both implementation and sustainability. Although unique in some aspects of management and resources, the VA also serves as an excellent laboratory to understand the implementation of best practices as it is a more organized and controlled environment, free of the barriers faced in other more fragmented segments of the U.S. health care system. In a two-year NIMH grant, we utilized a theory-based model to collect baseline data regarding the adoption of two evidence-based treatments for Posttraumatic Stress Disorder (PTSD), Prolonged Exposure (PE) and Cognitive Processing Therapy (CPT), in a national sample of 38 VA PTSD residential treatment programs with over 200 providers. In a subsequently funded NIMH R01, we are extending our investigation with the same population and model to see: (1) how well PE and CPT are sustained over time, (2) what organizational and individual factors influence sustainability, and (3) what effects implementation and sustained use of PE and CPT have on patient outcomes. Implications for implementation in and outside of the VA health care system will be discussed.Updates on measurement of a model of implementation for health care: advances toward a testable theoryOne comprehensive theoretical model for understanding implementation of innovations was initially developed by Rogers (1962) and elaborated on by others . This model construed implementation as a complex process influenced by five broad constructs: (a) perceived characteristics of innovation, (b) potential adopter characteristics, (c) communication and influence, (d) system antecedents and readiness, and (e) outer context. Although a considerable evidence-base was used to develop the model, the authors did not fully operationalize their model, making it difficult to test formally. Our group undertook a systematic review of the literature and, using an iterative process, we examined existing measures and utilized or adapted items. Where no one measure was deemed appropriate, we developed other items to measure the constructs through consensus. The review and iterative process of team consensus identified three types of data that could be used to operationalize the constructs in the model: survey items, interview questions and administrative data. Over three waves of data collection concerning the implementation of two evidence-based psychotherapies disseminated nationally within Department of Veterans Affairs, we have made changes to the quantitative measurement of aspects of this model including the exclusion of the measurement of some constructs as well as refinement of others . This presentation will review these changes as well as psychometric properties of other constructs and their items.Testing the model using quantitative data for implementation of two evidence-based psychotherapies for PTSD in VA residential treatment programs: outcomes for two yearly time pointsThis study examined the implementation of two evidence-based psychotherapies, Prolonged Exposure (PE) and Cognitive Processing Therapy (CPT), in the Department of Veterans Affairs (VA) residential Posttraumatic Stress Disorder treatment programs. The current analyses focused on continued implementation a year after an initial assessment of implementation and of provider and site variables thought to be related to implementation. Seventy-five providers from 38 programs provided complete quantitative data on both baseline and follow-up. At one year follow-up, there was continued effect of supportive organizational context on the implementation of both PE and CPT delivered in a group format.Unlike at baseline, effects of perceived characteristics of treatment on implementation of PE and of supportive organizational context on CPT delivered individually were no longer significant. Rather, social connections predicted a lower likelihood of implementation of CPT individually. These effects all remained, even after taking into account baseline levels of implementation.Implementation of two evidence-based psychotherapies for PTSD in VA residential treatment programs: patient-level outcomesThis presentation will discuss the effects of implementation of two EBTs for PTSD (PE and CPT) in the U.S. Department of Veterans Affairs (VA) residential treatment programs on patients' PTSD symptom severity, alcohol and drug use, and treatment satisfaction. The instruments were administered to patients upon admission and four months post-discharge. The short form of the Mississippi Scale for Combat-Related PTSD was used to measure PTSD and alcohol and drug abuse were measured using the composite indexes from the Addiction Severity Index. Controlling for length of stay and baseline symptoms, implementation of PE and CPT predicted improvement in PTSD symptom severity and alcohol use. The implications of these findings are that two EBTs for PTSD can be feasibly and effectively disseminated to routine clinical settings and implementation produces favorable patient outcomes."}
+{"text": "Based on panel data of Chinese listed companies, this paper estimates the impact of low-carbon city policy (LCCP) on enterprise investment efficiency (EIE) by the heterogeneous timing difference in differences (HTDID) method and examines the heterogeneous effect of urban culture on the impact. The results show that LCCP improves EIE, and the research conclusion passes the robustness tests. Mechanism analysis reveals that LCCP mainly acts on EIE along two paths: promoting enterprise technological innovation and easing financing constraint. But the LCCP does not have a significant effect on resource allocation. On urban culture heterogeneity, the ecological wisdoms of green urban culture and Confucian culture, such as benevolence to all beings and the harmony between man and nature, help to enhance the promoting effect of LCCP on EIE. From the perspectives of the synergistic development between formal and informal institutions and of urban cultural governance, this research provides important reference and data support to EIE improvement. Notice on Launching the Pilot Program of Low-Carbon Provinces and Low-Carbon Cities in 2010, kicking off the piloting of low-carbon city development. In the meantime, the Chinese economy is moving from the high-speed growth stage to the high-quality development stage. The further decline of industrial production efficiency has severely bottlenecked the macroeconomic growth of China in recent years. The low-carbon city policy (LCCP) requires cities to clarify their development strategies, principles, and directions during the pursuit of low-carbon development; accelerate the research and development, promotion, and application of low-carbon technologies; build a low-carbon industrial system characterized by greenness, environmental friendliness, and high recyclability; and implement the industrial policies, fiscal and tax policies, and technology promotion policies for low-carbon development, aiming to strengthen the driving role of low-carbon technology innovation on economic development. Enterprises are the most important participant and contributor in the construction of low-carbon cities. Being major emitters of carbon dioxide, enterprises are the core organizers of low-carbon product research and development and need to improve investment efficiency, one of the most effective ways to reduce carbon emissions and lead the construction of low-carbon cities. In the context of China's economic transformation, culture lies at the core of the informal institution and significantly affects economic and social development. The implementation of the LCCP is inseparable from the cultural foundation at the city level. Therefore, it is particularly important to explore the impact of LCCP on enterprise investment efficiency (EIE) and consider the role of urban culture for the implementation of policies. Facing the realistic needs of ecological protection and high-quality development, this paper is aimed at answering the following questions: does China's LCCP help improve EIE? Under the influence of culture, an important informal institution, does the relationship between LCCP and EIE varies with the culture of specific cities?Global warming, a consequence of greenhouse gas emissions, exposes human beings to multiple risks, including sluggish economic growth and worsening living environment. To address these risks, the National Development and Reform Commission of China issued the Rich results have been drawn on the evaluation of the effect of LCCP. Many scholars used the data of Chinese listed companies to evaluate the impact of LCCP on the total factor productivity . For exaBased on the above analysis, this paper intends to reveal the impact mechanism of LCCP on EIE and to empirically test that impact. Taking the LCCP as a quasinatural experiment, the authors estimated the impact of LCCP on EIE, using the heterogeneous timing difference in differences (HTDID) method, and alleviate the endogenous bias through a series of robustness tests. In addition, urban green culture and Confucian culture were taken as examples; the heterogeneous impact of urban culture was examined, revealing the key role of cultural governance in the implementation of LCCP. This is another defining feature of this research. The research findings help to examine the achievements of low-carbon city construction, deepen the understanding of the factors affecting EIE, and provide reliable suggestions for promoting high-quality economic development while implementing low-carbon governance.The main contributions are as follows: firstly, scholars have not reached a consensus on how environmental regulation affects economic efficiency of enterprises \u201311. At tUnder the global trend of carbon reduction, China launched the first batch of low-carbon pilot projects in 2010. Each pilot region was required to explore a low-carbon development model according to its own conditions. Subsequently, the second and third batches of pilot projects were determined in 2012 and 2017, respectively. The pilot regions need to complete the following tasks: establishing a responsibility system for carbon control target, setting up a carbon emission data statistics and management system, formulating supporting policies for low-carbon development, constructing a low-carbon industrial system, and advocating the low-carbon green lifestyle. This paper intends to demonstrate the impact of LCCP on EIE from three aspects: technological innovation effect, financing constraint effect, and resource allocation effect.Specifically, the technological innovation effect refers to the influence of LCCP over EIE via technological innovation. LCCP is an environmental regulation policy proposed by China at the city level to reduce carbon emissions . The infThe financing constraint effect refers to the influence of LCCP over EIE via easing the financing constraint. To integrate the concept of low-carbon development into the production and operation of enterprises, the government has continuously stepped up its support for enterprises. Local governments have made bold explorations and attempts with the help of the autonomy granted by their superiors, such as tax relief, financial subsidies, loan discounts, special funds, and talent incentives, aiming to help enterprises to expand financing channels. Banks and other financial institutions regard the government support and subsidies as implicit guarantees and lower the credit threshold for the enterprises receiving such support and subsidies. For example, the low-carbon urban plans of the pilot regions all cover various financial policies, namely, the special funds for low-carbon development, subsidies for specific industries, preferential loan interest rates, and tax reductions and exemptions. Through capital allocation, these financial policies guide enterprises to reduce investment in polluting projects and invest more funds in green industries and environment-friendly production processes , therebyThe resource allocation effect refers to the influence of LCCP on EIE by affecting enterprise resource allocation. On the one hand, the implementation of LCCP, whether it is the formulation of emission reduction requirements, the collection of pollution taxes, or the trading of pollution rights, will generate new costs, which will cause enterprise production to deviate from the original optimal state. The reason is that environmental regulation will increase the corporate cost of pollution control and system compliance . Some enThrough the above analysis, the following hypotheses were presented.LCCP can promote EIE.LCCP can suppress EIE.LCCP influences EIE via technological innovation effect.LCCP influences EIE via financing constraint effect.LCCP influences EIE via resource allocation effect.Chinese and Foreign Urban Knowledge Dictionary. It is a rather complex and diversified issue. Urban culture, as a way of communication between people and cities, is rooted in the soil of urban historical development and is the characteristic gene of a city. Urban culture has strong regional characteristics, and its development is largely affected by administrative division. Therefore, different cities may vary significantly in terms of culture. As an informal system, culture has an important impact on the economy and enterprise behavior. Urban green development is impossible without the support and guidance of culture. The promotion and implementation of LCCP cannot be detached from the special \u201csoil\u201d of urban culture, especially the green gene in culture. Urban green culture is the value and philosophy of ecoenvironment protection and resource utilization with urban characteristics, both of which gradually form in the process of urban operation and management. As the main body of Chinese traditional culture, Confucian culture has a subtle influence on the behavior of Chinese people. Its ecological ethics and wisdom are highly consistent with modern concepts like ecological civilization and green development. Both urban green culture and Confucian culture carry the gene of green culture, exerting an important impact on the implementation of LCCP. Therefore, this paper takes urban green culture and Confucian culture as examples to explore the different roles of urban culture differences in the implementation of LCCP.Urban culture is mainly defined in two ways: deducing from the definition of culture and defining by the features of the city itself. Concerning the first way, urban culture is defined as the sum of material and spiritual wealth created by people in the city and is the overall form of their living conditions, behavior patterns, spiritual characteristics, and urban features. Concerning the second way, urban culture is defined as a cultural model with urban characteristics jointly created by citizens in the long-term life process and is the sum of urban living environment, lifestyle, and living habits, according to the The Outline of the Tenth Five Year Plan for National Economic and Social Development proposed to break the extensive \u201cblack\u201d development model with GDP growth as the fundamental goal, switching to a resource-saving, environment-friendly, and green path towards sustainable development. Since then, urban green culture has been gradually formed through urban green operation and management and imperceptibly affected the public's values and decision-making. Therefore, Confucian culture and urban green culture are the representatives of traditional culture and emerging culture, respectively, and carry the very gene of green culture. Meanwhile, the two cultures vary greatly from city to city.Confucian culture has a long history of development. After more than two thousand years, Confucian culture has gradually established the core values and moral norms of Chinese culture and has become the ethics of \u201cdaily use without knowing.\u201d With a low per capital ecological wealth, China faces a growing mismatch between the public's pursuit of high-quality life and the insufficient supply of urban development resources. Urban green culture refers to the values and philosophy of ecoenvironmental protection and resource utilization with urban features. These values and philosophy are formed gradually during urban operation and management. Firstly, urban green culture can promote enterprises to generate cohesive and centripetal forces, which are friendly to the environment. By giving play to the guiding role of culture, the awareness of environmental protection can be formed subtly, and employees are encouraged and instructed to care for the environment and make concerted efforts for environmental protection. Secondly, urban green culture will form a binding force in enterprises through institutional norms and responsibility requirements. The social and environmental responsibilities that enterprises should undertake in production and operation will be stressed, motivating enterprises to develop the relevant institutions. Hence, urban green culture will lay a good basis for the promotion and implementation of LCCP and actively shape the influence of LCCP over EIE.The behavior of enterprises is affected by the institutional environment . China iTo sum up, the following hypotheses were presented.The stronger the urban green culture, the more LCCP improves EIE.The stronger the Confucian culture, the more LCCP improves EIE.i and t are the serial numbers of enterprises and years, respectively; Investeffi,t+1 is EIE; LCCi,t is the low-carbon piloting state of the registered city of the enterprise; Xi,t is a series of control variables; \u03bci, \u2211Year, \u2211Industry, and \u2211Province are the fixed effects of individuals, years, industries, and provinces, respectively; \u03b5i,t is a random error; and \u03b2 is the estimate of HDID, the key index of this research.Taking the low-carbon city piloting policy of China as an example, this paper explores how LCCP affects EIE. Since the piloting program starts from different years in different cities, the HDID method was adopted to recognize the influence of LCCP over EIE. The benchmark econometric model can be designed asThe research samples are the nonfinancial Chinese enterprises listed in the A-share board of Shanghai and Shenzhen stock exchanges from 2007 to 2016. Financial enterprises were excluded from the samples, mainly for the following two reasons: firstly, the financial industry, especially the banking industry, is more special than general industries. For example, many banks earn profits from off-balance sheet businesses. Bias is unavoidable if listed banks are analyzed based on the three major financial statements. Secondly, the financial enterprises have different financial statement requirements different from nonfinancial enterprises, because of the difference in business model between the financial industry and other industries. The statement structure and main accounting items of the financial industry are also different from those of general industries. The following samples were also excluded: the samples receiving special treatment (ST) or facing delisting risk (\u2217ST), the enterprises issuing both A-shares and B-shares, and the enterprises with key variables missing. The relevant data were collected from China Stock Market & Accounting Research (CSMAR) database and WIND database.The low-carbon city piloting (LCC) is defined as follows: if the registered city of a listed enterprise implements low-carbon piloting, LCC = 1 in the current and following years; otherwise, LCC = 0. During the sample period, two batches of pilot cities were announced. Hence, the first and second batches of pilot cities were selected as the treatment group. Some cities belong to both batches. As a result, the start time of piloting of a province was taken as that of every city administered by that province.The EIE was measured mainly referring to the research of Biddle et al. and Choii,t is the investment level of the enterprise in year t, which is measured by the ratio of the cash paid for the purchase and construction of fixed assets, intangible assets, and other long-term investments to the total assets at the beginning of the period, and Growthi,t\u22121, Levi,t\u22121, Agei,t\u22121, Sizei,t\u22121, Cashi,t\u22121, Reti,t\u22121, and Invi,t\u22121 are the growth capacity, debt rate, listing period, company scale, cash holding ratio, stock return, and investment level of the enterprise in year t \u2212 1, respectively.The model can be expressed as follows:\u03b5i,t reflects the inefficient investment expenditure of the enterprise. If \u03b5i,t > 0, then the investment is excessive; if \u03b5i,t < 0, then the investment is insufficient. The absolute value of the residual \u03b5i,t was taken to measure the EIE (Investeff). This value reflects how much the enterprise investment deviates from the theoretical expectation. The greater the value, the larger the deviation and the lower the EIE.The regression residual price-earnings ratio has been used as a key variable to measure investor sentiment, which has been proved to bear on the investment behavior of enterprises through equity financing, catering, manager optimism, debt financing, and other channels. Thirdly, the local government would intervene in the economic operation of enterprises by means of government subsidies, guiding local investment, and changing the investment direction and level of enterprises. Fourthly, the duality of chairman and general manager, as an important allocation mechanism of decision-making power, directly affects EIE. Fifthly, market competition can improve information sharing. In a fully competitive market, owners will have reliable information of managers. Thus, the information asymmetry between shareholders and management is mitigated, so that executives will not expand blindly or get complacent, and the enterprises will invest more efficiently. Sixthly, the sustainable growth rate reflects the sustainability of enterprises. The sustainable growth rate can affect EIE through earnings retention and financial structure.The HDID model controls the key explanatory variables and solves the endogeneity induced by the correlation between time-invariable individual features. But the time-varying individual features should be controlled to reduce the estimation inconsistency arising from missing variables. Referring to the literature, this paper selects the following control variables: enterprise size (Size), price-earnings ratio (PE), government subsidy change (Subchange), holding concurrent positions of chairman and general manager , industry concentration (Hhi), and sustainable growth rate (Sgr). In addition, industrial and provincial dummy variables were included. Reasons for choosing the control variables are as follows: firstly, the existing research has shown that enterprises of different scales have different financing constraints, which affect EIE differently. Secondly, Investeff represents the deviation of enterprise investment from the theoretical expectation, the greater the deviation, the lower the EIE. Hence, the empirical results reveal that LCCP significantly enhances EIE. According to column (5) of Next, EIE was divided into excessive investment and insufficient investment and treated as the explained variable separately. On this basis, model was regrDki,t is a series of dummy variables, indicating the k-th year since the implementation of low-carbon city piloting . This paper mainly considers parameter \u03b2k . The other variables in formula between city attribute and time trend to the benchmark regression model, where Sc is the city attribute and f(t) is the first-order term of the time trend. The cross-term controls the time-varying influence of the intrinsic difference between city attributes over EIE. The regression results are recorded in column (1) of The first batch of low-carbon pilot cities in China was designated by the superior government. As for the second and third batches, application and expert review were added as necessary links of determining low-carbon pilot cities. Thus, the list of low-carbon pilot cities is not determined purely by random. To mitigate the negative effect of nonrandom selection on estimation results, this paper adds the cross-term Sc \u00b7 The approval time of low-carbon pilot cities was moved ahead by 3 years, and variable Before_3 was added to model . The regConsidering the effect of its abnormal value, the explained variable was censored at the 1% and 99% quantiles. The regression results are displayed in column (4) of Per capita gross domestic product (GDP) was added to the benchmark model. The regression results are shown in column (5) of Two cross-terms were designed: the cross-term between whether the city is a new energy demonstration city and the time of approval (Ncity) and the cross-term between the city environmental protection criticized by superiors and the time of criticized (HBYT). The two terms were introduced to model . The regTo increase the similarity between treatment group and control group, this paper further removes the provinces without any pilot cities. The regression results are displayed in column (8) of Regarding the measurement of urban green culture, this paper selects the actual year-end number public vehicles and trams/ to depict the green consumption concept of residents. The samples were grouped by the median of the variable and tested separately. The results are shown in columns (1) and (2) of To rule out the possibility that the above results are caused by government intervention, this paper uses the government-market relationship index compiled by Fan et al. to measuNational Sustainable Development Plan for Resource-Based Cities (2013-2020), this paper divides cities into resource-based cities and non-resource-based cities and performs regression on each group. The results are shown in columns (5) and (6) of Compared with non-resource-based cities, many resource-based cities in China lag behind in the construction of urban green culture, due to their long-term dependence on resources. According to the Referring to the research of Du , this paUnder the influence of green culture and Confucian culture, enterprises identify with different goals and pursue legitimacy to different degrees. This paper holds that LCCP has a more positive impact on the EIE in high-carbon emission industries than low-carbon emission industries. To test this hypothesis, the industries were divided into high-emission industry, medium-emission industry, and low-emission industry, according to the trisectional quantiles of carbon emissions of all industries in China, in reference of the carbon emission data in 2009. The relevant data come from Carbon Emission Accounts & Datasets (CEADs). The regression results are shown in The impact of LCCP on EIE mainly manifests as three effects, namely, technological innovation effect, financing constraint effect, and resource allocation effect. These effects are tested separately in this paper.The R&D expenditure reflects the willingness of enterprises to invest in technological innovation. Therefore, this paper selects R&D expenditure as a proxy variable for technological innovation and measures the variables with the ratio of R&D expenditure to operating income. The regression results are shown in column (1) of Scholars mainly use KZ, WW, and SA indices to measure the financing constraint of enterprises , 35. AmoThis paper uses capital allocation efficiency as a proxy variable of resource allocation efficiency and designs model followinThis paper measures the EIE with the Richardson enterprise expectation investment model. The research samples are the A-share listed nonfinancial enterprises in Shanghai and Shenzhen stock exchanges of China from 2007 to 2016. On this basis, the impact of LCCP on EIE was estimated by using HTDID, and the heterogeneous effect of urban culture was also investigated.The main conclusions are as follows:(1) Overall, LCCP improves EIE, and the research conclusion passes a series of robustness tests. (2) Mechanism analysis reveals that LCCP mainly acts on EIE along two paths: promoting enterprise technological innovation and easing financing constraint. But the LCCP does not have a significant effect on resource allocation. (3) The influence of LCCP over EIE varies with urban cultures. The ecological wisdoms of green urban culture and Confucian culture, such as benevolence to all beings and the harmony between man and nature, help to enhance the promoting effect of LCCP on EIEThe policy implications are as follows:First, the positive effect of LCCP on EIE was demonstrated through empirical research. The construction of low-carbon cities is an important means for European developed countries to improve residents' well-being and urban competitiveness. In developing countries, the legal system is relatively weak, and the relevant pilot policies may be difficult to implement. The research results prove that LCCP has the same ideal effect in developing countries like China and can be used as an important means to promote high-quality economic development.Second, strengthening urban cultural governance is of great significance to LCCP promotion. Urban cultural governance focuses on improving the cultural connotation and quality of urban governance. This is particularly true as China witnesses increasing urban scale, rapid construction, the lack of urban culture, and cultural imbalances. Then, it is necessary to highlight the construction of cultural soft power in governance goals and contents. Special attention should be paid to urban cultural governance from the perspective of green development, making cultural governance a powerful guarantee for promoting the progress of urban civilization and green development."}
+{"text": "Health Related Quality of Life (HRQoL) is a cornerstone in the evaluation of modern medicines, healthcare practice and other medical interventions . It is oIn health economics, it is useful to perform cost-effectiveness and cost-utility studies by considering the preferences of patients , 9. The Li et al. have evaluated the global, sex, age, region, and country-specific cardiovascular disease (CVD) burden, along with the trends, risk factors, and implications for the prevention of CVD. This study would help explain the characteristics of the global CVD burden in order to set up more effective and targeted prevention strategies. Lobo et al. have studied the need to address potential caregiver-affecting issues at many stages of health planning, recovery, and policymaking in order to generate the evidence to enable stroke caring engagement. In addition, a thorough understanding of the processes involved in stroke care, available services and individual needs and experiences to develop a more realistic approach toward engagement with whom. Cheng and Jin have investigated the association between smoking and HRQoL among Chinese individuals aged 40 years and older using an instrumental variable probit model. Their findings showed that smoking leads to a smaller probability of having a better quality of life, thereby anti-smoking campaigns are then needed to highlight the negative effect of tobacco use on HRQoL. In a multinational study, Ghazy et al. have also assessed the quality of life and its determinants among healthcare workers living and working in the Arab world. The findings of this study indicate that more attention should be administered to this key group in order to ensure their productivity and service provision. Besides, AlKuwaiti et al. have also explored the physical, social, psychological, spiritual, and lifestyle impact of a positive COVID-19 diagnosis on a sample of the UAE population. The study shows that patients with COVID-19 have perceived very good support in terms of their physical health from the government and health authorities, but need social, psychological, and educational support during the infection period and after immediate recovery and post-recovery.To date, plenty of research is conducted in this field and relates, for example, to the choice of the instrument, methodological development, ability to capture specific health dimensions, and lots more. Our Research Topic was open to the subject area of health-related quality of life in healthcare and in clinical practice. Articles included instrument development, new technologies, application, evaluations and outcomes. For example, Shi et al. have assessed the cost-effectiveness of the same-day discharge (SDD) in comparison to that of regular care for primary total hip arthroplasty patients. This is achieved by analyzing the effect using the Oxford hip score (OHS), medical costs (both out-of-pocket and reimbursed), mean incremental cost-effectiveness ratio (ICER), and quality-adjusted life years (QALYs) at 6-month follow up. By a standard cost-effectiveness analysis (CEA), this study would help physicians, government and health authorities to look at SDD in a more precise and efficient approach. Additionally, Shao et al. have also evaluated the cost-effectiveness of camrelizumab plus chemotherapy to treat sq-NSCLC from the Chinese healthcare system perspective. The findings of this economic evaluation approach would provide evidence for clinicians, government and health authorities in making optimal decisions in general clinical practice.With regards to cost-effectiveness analyses, Kharroubi and Kelleher have developed a novel Bayesian non-parametric model for estimating the utility values of health states defined by a generic descriptive system, to generate quality-adjusted life years and hence to conduct cost utility analysis of healthcare interventions. The new Bayesian statistical model also permits the utilization of evidence from one country as potential prior information for a study in another. The results of this study suggest that existing countries' valuations could be used as informative priors to generate better utility estimates than modeling the data from each country separately. This sort of analysis (borrowing strength from existing countries) could be particularly promising in terms of reducing the need for conducting large surveys in every country, which would in turn reduce the cost of cross-country valuation. This will be hugely important for countries where large-scale evaluation exercises are expensive and hard to conduct, particularly for countries with small population size or low- and middle-income countries.To this end, our Research Topic was sealed with a methodological paper where So as a final word, Health Related Quality of Life in Healthcare has become the focus of health related research and practice especially after the COVID-19 crisis which have unveiled systems weaknesses and the need for future preparedness with more evidence based oriented actions and polices which this topic has aimed for.SK participated in the conceptualization of the idea, the design of the Research Topic, editorial drafting, and the final review of the editorial. IB reviewed and finalized the editorial and participated in the conceptualization of the study. All authors have read and approved the final editorial."}
+{"text": "The COVID-19 pandemic remains a public health problem threatening national and global health security. The socio-economic impact of COVID-19 was more severe on developing countries including Lebanon, especially due to the fragile healthcare system, weak surveillance infrastructure and lack of comprehensive emergency preparedness and response plans. Lebanon has been struggling with plethora of challenges at the social, economic, financial, political and healthcare levels prior to the COVID-19 pandemic. The COVID-19 pandemic in Lebanon revealed gaps and challenges across the spectrum of preparedness and response to emergencies. Despite these challenges, the Lebanese response was successful in delaying the steep surge of COVID-19 cases and hospitalisations through imposing strict public health and social measures. The deployment of the national vaccination plan in Lebanon in February 2021 coincided with the reduction in the number of cases and hospitalisation rates. The aim of this manuscript is to advance the epidemiologic evolution of COVID-19 in Lebanon pre- and post-vaccination, the challenges affecting the response and recovery, and the lessons learned. Since its emergence in December 2019, severe acute respiratory syndrome coronavirus 2 (SARS-CoV-2), the causative agent of coronavirus disease 2019 (COVID-19), has been a global public health problem. SARS-CoV-2 has rapidly spread worldwide and accounted for more than 649\u00a0711\u00a0690 cases and 6\u00a0654\u00a0580 deaths until the write-up of this manuscript . Ba. Ba26]. The lifting of PHSMs prior to the availability of COVID-19 vaccines, and specifically during the 2020 holiday season, had a significant impact on the already fragile healthcare system suffering from shortage of medical equipment and medication as well as incentives and livelihood subsidies. This coincided with the detection of the first SARS-CoV-2 variant of concern (VOC), alpha (B.1.1.7) . A sharpThe day 27 January 2021 marked the announcement of the national COVID-19 vaccination plan as well as the launching of an online registration platform, IMPACT, for COVID-19 vaccine registration and reporting of adverse events . The COVThe BNT162b2 vaccine was the first to be delivered to Lebanon followed by the ChAdOx1 vaccine , 37. By Despite all the challenges, the national vaccine campaign was successfully launched and was coupled with a gradual decline in the number of reported cases and incidence rates. The lowest number of reported cases was reported in the period extending between 1 May and 31 July 2021 with an average daily case of 378 and average daily positivity rate of 2.3% and 2. SWith the emergence of SARS-CoV-2 variants and vaccine escape mutants, several studies reported breakthrough infections among fully vaccinated individuals \u201352. HoweAt the beginning of the pandemic in Lebanon, there was limited capacity in detecting, tracing and isolating confirmed COVID-19 cases. The RHUH was the only hospital designated for testing, quarantining and treating confirmed cases . This reSARS-CoV-2 seroprevalence studies are important to estimate the burden of COVID-19 in a population and to understand the dynamics of disease transmission, risk of infection as well as the evolution of the pandemic . While sMoreover, the lack of concerted efforts between academics and national stakeholders as well as lack of information-sharing system resulted in poor engagement of the scientific community in supporting decision-making. Modelling studies, for examples, are important to inform and help policy makers to implement appropriate public health measures and mitigate virus spread. Few modelling studies were conducted in Lebanon to predict the spread of SARS-CoV-2 as well as the impact of COVID-19 vaccination , 70, 71.unpublished data).Importantly, limited genomic data on circulating SARS-CoV-2 variants have been available in Lebanon due to the lack of national genomic surveillance programmes and the lack of concerted efforts between research institutions and the MoPH to support the latter. SARS-CoV-2 genomic surveillance is important to continuously monitor the circulation and emergence of variants in order to guide national public health policies. Scattered reports on limited number of samples revealed the detection of B.1 lineage (20A clade), B.4 lineage (19A clade) and the B.1.1 lineage (20B clade) in 11 samples collected from hospitalised patients between February and March 2020 . Later aThe structure of the national healthcare system had a major impact on the national response to COVID-19. Approximately, 84% of healthcare facilities are located in large cities and most of them are private healthcare facilities . The numDespite all these challenges, Lebanon was able to delay the exponential rise in COVID-19 cases until January 2021 through intermittent lockdowns and community mobilisation. The latter was translated by the engagement of municipalities in sharing information with the MoPH, albeit later during the course of the pandemic, as well as monitoring home isolation for confirmed and suspected cases under their jurisdiction. Few months into the pandemic, the concerted efforts and collaboration between the MoPH, the Ministry of Interior, the Lebanese Red Cross, the United Nations agencies, the WHO and the Disaster Risk Management Unit resulted in better implementation of the national response against the spread of SARS-CoV-2. Moreover, volunteers were trained for contact tracing nationwide, testing and data collection specifically at points of entry (airport and land borders). The ability of the RHUH to care for COVID-19 patients early during the pandemic, the compliance of the Lebanese community to the implemented national strategies and safety measures, and the deployment of the COVID-19 vaccines contributed significantly to the success of the national response.The COVID-19 pandemic revealed global gaps and brought to the surface the need to reimagine the pillars of global health security. Lebanon, similar to other countries, grappled with a variety of challenges that unravelled the dire need for a national strategy cutting across emergency preparedness, response and recovery from crises. This strategy should be applied and sustainable for any type of threat including agents of potential epidemic threats as well as biological, chemical, radiologic and natural disasters. A prioritised plan of action supporting the development of the national health sector strategy on health security as well as strengthening the existing infrastructure is needed. These efforts require rethinking and reimagining the healthcare system and its components in order to manage crises. The COVID-19 pandemic unravelled many structural obstacles and barriers spanning the entire spectrum of emergency preparedness in Lebanon. The need to enhance surveillance and shift from disease-based surveillance into comprehensive surveillance programmes was clear for timely response to disease outbreaks. While this might seem generic, however, Lebanon has been suffering from political instability for the past five decades; the former hampered the institutionalisation of systemic programmes for disease prevention and care. Consequently, political commitment is needed to invest in sustainable capacity building and strengthening and updating the infrastructure of Lebanon's surveillance system and its healthcare infrastructure through: establishing an organic and sustainable link between the public and private sectors, the development of laboratory networks and decentralised yet linked genomic surveillance programme, robust health bioinformatic system for transparent data sharing while linking epidemiologic data to clinical data and genomics; importantly, the coordination between policy makers and research institutions is critical to advance contextual data that will feed into national needs of national stock supplies and supply chain . While researchers are well represented on national, regional and international committees and task forces on prevention and control of infectious diseases and disaster management and while the former had a positive impact on guiding national policies to control COVID-19 in Lebanon, an inherent lack of trust between policy makers and the community was obvious through lack of compliance of the community and lack of catch-up on vaccination depicted through the current low coverage rates. The development of a strong risk communication and community strategy is instrumental in times of emergencies and allows the engagement of communities in policymaking. This is more critical in Lebanon in order to build trust and engage the public in decision-making.Importantly, the recovery from an emergency must begin during the response and consequently, we recommend the development of a national policy for safe return to work, the establishment of a multisectoral recovery task force to coordinate and implement recovery arrangements , and supporting the MoPH to expand resources to strengthen the medical and public health sectors.Enormous efforts and actions were put in place to respond to the COVID-19 pandemic in Lebanon during a progressively worsening economic and financial situation; however, the COVID-19 pandemic revealed the vulnerability, gaps and needs of the healthcare system in Lebanon including epidemiologic surveillance, genomic surveillance, integrated and concerted data sharing, diagnostic capacity, community mobilisation and risk communication. The national commitment to these important inherent components of a rapid response requires resources and investment in human and technical expertise to reduce inequality in access to information and care."}
+{"text": "According to the American Psychological Association APA, , Health Several issues and factors are still understudied in Health Psychology. Psychological effects of the COVID-19 outbreak, caregiving experiences, work-related stress and life-work balance, quality of life of sexual minorities, health-related orientations and motivations among younger generations, and the impact of the new media on people's mental health are just a few examples of Health Psychology phenomena that need further investigation. A critical issue in Health Psychology is measurement. A variety of crucial psychological constructs, health-related behaviors, and responses to health, illness, and healthcare need to be addressed and measured in Health Psychology research and practice. Intervention programs designed to foster good health by changing negative health behavior, promoting positive health behavior, and enhancing the management of chronic conditions have been of particular interest to Health Psychology since its beginnings as a distinctive discipline. The availability of psychometrically sound measures is crucial to assessing the effectiveness of such interventions and deepening our understanding of the social and psychological processes of health and illness Apple, .We launched the Research Topic \u201cMeasurement in Health Psychology\u201d in this context. Because measures are a critical part of research and practice in Health Psychology, we were interested in providing an overview of up-to-date measurement principles and methods, which could help improve the process of developing valid, reliable, and sensitive instruments to be used in the fields of Health Psychology.Within this Research Topic, we brought together research studies developing new tools or advancing the psychometric study of existing measures relevant to Health Psychology. Twenty-three articles authored by 105 contributors from different countries and continents were accepted. The research contributions published in this Research Topic relate to self-report measures of socio-environmental and psychological/behavioral influences on health and disease, as framed within the biopsychosocial model Engel, , which hZhan and Wang) presented the development of a new measure to assess the subjective evaluation of harmonious family relations as a resource for physical and mental health. Three independent samples of Chinese university students were enrolled, respectively, for item analysis and exploratory factor analysis (EFA) of the initial item pool; confirmatory factor analysis (CFA) and assessment of internal consistency; and relationships to other variables and test-retest reliability over a two-month interval. Results supported a nine-factor model of family harmony, with adequate reliability and validity as evidenced by positive correlations with criterion measures of subjective well-being and family function, cohesion, and adaptability, and negative correlations with loneliness scores.Six articles in this Research Topic addressed constructs belonging to the social domain of the biopsychosocial model. Three papers dealt with the assessment of family relationships. One of them evaluated the psychometric properties of a Chinese version of the 10-item Family Communication Scale (FCS) to measure positive family communication. EFA and CFA supported a one-factor structure, which showed adequate internal consistency and test-retest reliability and correlated in the expected direction with wellbeing indicators and frequency of communications with family members via Information and Communication Technologies.Another paper proposed a new short measure to assess the bonding between parents and children under 1 year of age, namely the \u201cMe and My Baby\u201d (MaMB) questionnaire. Factor analyses and Rasch calibration performed on data from 434 mothers provided initial evidence that the MaMB reliably measures infant bonding.Finally, UK researchers . Applying CFA and Rasch analysis, the authors found evidence of a unidimensional structure with adequate reliability. Evidence of validity was provided by relationships with a measure of the risk of physical and psychosocial abuse and neglect by primary caregivers. As for formal caregiving, Italian researchers developed a 20-item scale to assess emotional, informational, appraisal, and instrumental social support by healthcare providers in the oncology setting (Tomai and Lauriola). Scale dimensionality and reliability were tested using exploratory structural equation modeling (ESEM) and Mokken scaling analysis. Evidence of validity and reliability and expected associations with doctor communication skills and trust in the physician supported the use of this new measure of healthcare social support as multidimensional a construct.In the context of caregiving, one paper tested the psychometric characteristics of the Zarit Burden Interview in Peruvian informal primary caregivers of persons diagnosed with intellectual disabilities tested the validity and reliability of the School Burnout Inventory among Chilean high school students. CFAs on the 8-item Chilean version supported two statistically equivalent first- and second-order three-factor models of school burnout as composed of exhaustion, cynicism, and inadequacy, which showed gender invariance. Internal consistency and test-retest reliability were acceptable, and school burnout scores correlated as expected with study-related emotions, academic psychological capital, and academic engagement.Finally, as for the school environment, one article tested the psychometric properties of the Farsi version of Perth Alexithymia Questionnaire (PAQ). Based on CFA results, the 5-factor model of the original PAQ replicated well on data from college students, with adequate internal consistency and test-retest reliability. Evidence of associations with other variables was collected for the Farsi PAQ.Nine papers addressed the assessment of individual characteristics and behaviors relevant to health and illness. Within the field of psychosomatic disorders, Iranian researchers . An 11-item Spanish version with three factors was obtained using CFA and ESEM and proved to be invariant across gender and age within and between five different study samples. Reliability coefficients were satisfactory, and correlations with relevant criterion measures provided evidence of convergent and divergent validity.The Work-Related Rumination Scale was tested on a sample of Puerto Rican workers (Lang and Ye) presented a Chinese adaptation of the Self-Objectification Beliefs and Behaviors Scale (C-SOBBS). As a result of exposure to sexual objectification in interpersonal situations and visual media, self-objectification entails viewing one's own body from a third person's perspective and has been linked to poorer women's mental health. The authors found evidence of structural (CFA), convergent, discriminant, and incremental validity, and adequate internal consistency and test-retest reliability for the C-SOBBS. In another paper, Chinese researchers proposed the development and validation of the Psychological Needs of Cancer Patients Scale to identify the psychological care demands of cancer patients . Results of EFA and CFA supported a six-factor model of value and esteem, independence and control, mental care, disease care, belonging and companionship, and security, with acceptable reliability and expected associations with anxiety and depression.As to individual beliefs and expectations, one article . Data from Italian university students were analyzed via EFA and CFA, followed by Rasch analysis. A four-factor model of despair, adjustment, proactivity, and aversion was supported, which was invariant across gender and age and showed adequate reliability. Discriminant and criterion-related validity based on correlations with personality characteristics helpful in coping with disasters and predictive validity on levels of enjoyment and anger 2 months later were also supported. To assess coping strategies to deal with cancer, researchers from Portugal performed a cross-cultural adaptation and psychometric evaluation of the Perceived Ability to Cope with Trauma Scale (PACT). Results of CFA on data from patients recently diagnosed with early breast cancer supported the original PACT two-factor model of coping flexibility as composed of forward and trauma focus domains, which showed adequate internal consistency and associations in the expected direction with self-efficacy to cope with cancer, quality of life and psychological distress.Two articles addressed situation-specific coping. The Robust Pandemic Coping Scale (R-PCS) was developed to assess coping strategies related to pandemic situations at all stages of the epidemic management cycle developed a brief scale to assess the affective, cognitive, and behavioral attitudes of youth and young adults toward condom use. Using EFA and ESEM, the authors found support for the hypothesized three-factor model. The scale showed strong invariance across gender, adequate reliability, and expected relationships with sexual risk behaviors and condom use.In the area of health-related attitudes, Chilean researchers tested the psychometric performance of a very brief measure of problematic internet use, namely the Compulsive Internet Use Scale (CIUS), when used with Lithuanian medical students and resident doctors. Results indicated that the brief, 5-, 7-, and 9-item versions of the CIUS were reliable and valid screening tools to assess the severity of symptoms of problematic internet use in the medical population. Another brief, 6-item scale of excessive use of social networks was adapted for use with Mexican adolescents and young adults . Altogether, the structural properties of the response options fitted the partial-credit model. CFA supported a single domain of addiction to social networks, with measurement invariance across sex, age, and educational campus, good internal consistency, and theoretically consistent associations with sensation seeking and depression.Among health-related behaviors, one study presented the traditional Chinese version of the Recovering Quality of Life (ReQoL) outcome measure. The ReQoL measures mental health recovery, defined as a self-directed process of healing and transformation, which has received increasing attention in evaluating the outcomes of mental care. The Chinese ReQoL showed good psychometric properties in terms of internal consistency, test-retest reliability, factor structure (CFA), known-group validity, and associations with relevant variables in the general population.A total of eight papers focused on assessing outcomes of the interactive relationships between biological, environmental, and psychological/behavioral factors. Two papers focused on health-related quality of life (HRQoL), which is a primary outcome in the evaluation of interventions' effectiveness on people's health. One article examined the validity and reliability of the Minnesota Living with Heart Failure Questionnaire in individuals with coronary artery disease. EFA and CFAs supported a three-factor model of physical, social, and emotional disease-specific HRQoL. The Lithuanian version was reliable and showed evidence of convergent validity based on correlations with another measure of HRQoL (SF-36) and with exercise capacity assessed using a standardized computer-driven bicycle ergometer.Lithuanian researchers . CFA confirmed a bifactor model, which was invariant across gender and age in a sample of university students. Based on reliability analyses, the authors advised against the interpretation of specific-factor scores and recommended the computation of a general wellbeing score.Six papers addressed the assessment of indicators of mental health or adjustment to health problems. One of them presented the validation of a Kazakhstani version of the Mental Health Continuum\u2013Short Form to assess emotional, social, and psychological wellbeing presented the validation study of a multidimensional inventory for the assessment of mental pain after traumatic experiences (FESSTE30) in the German speaking general population. CFA showed a satisfactory fit of a five-factors measuring somatization, depression, intrusive memories, dissociation, and anxiety. The scale showed evidence of reliability and strong correlations with measures of psychological distress, PTSD symptoms, and the extent of traumatic experiences.Another article . Based on the results of PCA and CFA, the authors proposed a revised model (MI-RSWB-R) with general religiosity and connectedness domains reflecting religious and spiritual wellbeing, respectively, and suggested using the remaining subscales to gain insight into specific, separate facets of wellbeing. All MI-RSWB-R domains showed adequate reliability and relationships with the centrality of religiosity.The Swedish version of the Multidimensional Inventory for Religious/Spiritual Well-Being (MI-RSWB) was psychometrically tested to assess the spiritual wellbeing of a large sample of university students tested a Brazilian-Portuguese version of the 12-item Infertility-Related Stress Scale (IRSS-BP) to assess adjustment to the infertile condition. ESEM showed a bifactor model with one general and two specific intrapersonal and interpersonal stress factors, which was invariant across Brazilian and Italian infertile individuals. All three IRSS-BP factors showed adequate composite reliability and theoretically meaningful associations with gender, infertility duration, and depression scores.Brazilian and Italian researchers tested the psychometric properties of the Starkstein Apathy Scale (SAS) to assess apathy in a sample of English speaking people having experienced a stroke. A revised 9-item version of the SAS targeting impairment of apathy/motivation was obtained, which was unidimensional and reasonably reliable, with no substantial item differential functioning across time, age, sex, and education.Using Rasch's partial-credit model, correlation, and regression, one study . Ego integrity in older people is crucial to help them achieving successful aging and a better quality of life. Through a three-step process involving expert validity and piloting, item analysis and principal component analysis, CFA, and assessment of reliability and relations to criterion measures, the authors found acceptable validity and reliability evidence, supporting the use of the Chinese IPB.Chinese researchers developed and tested a 40-item short form of the Inventory of Psychosocial Balance (CIPB-SF) to assess ego development based on Erikson's theory in Chinese older adults (In this Research Topic, we invited researchers from around the world to contribute to measuring key constructs in Health Psychology by sharing the development and improvement of measures to be used by Health Psychology researchers and clinicians.Two-thirds of the accepted papers presented further development and validation of existing instruments for use in different cultural contexts or populations with specific characteristics. This emphasizes that the validation process is never complete but is instead an ongoing process, which involves collecting multiple types of evidence to support the appropriateness and meaningfulness of inferences and decisions made from measurement scores Messick, . Most paAltogether, 23 measures with promising psychometric characteristics are made available to researchers and clinicians to ensure a valid and reliable assessment of psychosocial variables and behaviors that may influence health and illness, as well as to evaluate health outcomes and monitor the effectiveness of Health Psychology interventions. This Research Topic certainly does not exhaust the issue of measurement in Health Psychology. Still, we hope that other colleagues will take new initiatives to further share the development and testing of valid, reliable, and sensitive instruments to be used in Health Psychology research and practice.All authors listed have a substantial and equal contribution to the work and approved it for publication.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest.All claims expressed in this article are solely those of the authors and do not necessarily represent those of their affiliated organizations, or those of the publisher, the editors and the reviewers. Any product that may be evaluated in this article, or claim that may be made by its manufacturer, is not guaranteed or endorsed by the publisher."}
+{"text": "Measurement-Based Care (MBC) is an emerging healthcare model with a number of potential advantages over traditional approaches for the treatment of substance use disorder (SUD). Despite SUD treatment programs being theoretically well suited for the implementation of MBC, its uptake has been minimal, which in turn limits further research, knowledge synthesis, and translation into clinical practice.The goal of this knowledge synthesis project is to stimulate greater consideration of MBC models in addictions programs, with three interrelated objectives: 1. To summarize the existing evidence from research literature 2. To complement the literature findings with the data from our clinical research and quality improvement projects 3. To explore potential risks and difficulties of MBC implementation in the SUD treatment programsNarrative review. Knowledge synthesis.To date, only two published randomized controlled trials, which along with the data from our pragmatic clinical research, support the wider implementation of MBC in the substance abuse treatment settings, but also indicate the high need for larger-scale clinical trials and quality improvement programs. Potential barriers to the implementation of MBC for SUD are outlined at the patient, provider, organization, and system levels, as well as challenges associated with the use of MBC programs for clinical research. Critical thinking considerations and risk mitigation strategies are offered toward advancing MBC for SUD beyond the current nascent state.The state-of-the-art of MBC in SUD care settings reviewed and the strategies for further development from adminsitrative, clinical, and research prospectives outlined.No significant relationships."}
+{"text": "QEEG is a modern electroencephalography (EEG) analysis that records digital EEG signals, which are processed, transformed, and analyzed using complex mathematical algorithms. When Hans Berger recorded the first EEG of a human brain in 1924, his observations were limited to the time domain. Still, he suggested that frequency analysis would improve the interpretation of EEG signals in the future. QEEG has brought new EEG signal feature extraction techniques: analysis of specific frequency band and signal complexity, analysis of connectivity, and network analysis. The role of QEEG is not necessarily to pinpoint an immediate diagnosis but to provide additional insight in conjunction with other diagnostic assessments for obtaining a precise result and disease severity stage or specific treatment response evaluation. The clinical application of QEEG is extensive, including neuropsychiatric disorders, epilepsy, stroke, dementia, traumatic brain injury, and many others.Neurotechnology establishes strategic connections between various disciplines, from neuroscience and medicine to engineering and artificial intelligence, tackling the more profound understanding of fundamental brain principles and enhancing the advancement of new technological methods in experimental and clinical settings.EUNeurotech, the European University of Brain and Technology, brings together eight leading European universities, partner research institutions, companies, societal stakeholders, cities, and (non) governmental organizations to build a trans-European network of excellence in brain research and technologies to increase the competitiveness of European education, research, economy, and society. In this context, the University of Medicine and Pharmacy Iuliu Ha\u021bieganu (UMFIH), through the Erasmus+ department, developed the first Blended Intensive Program (BIP) within the NeurotechEU Alliance, organizing the QEEG Summer School (QEEGSS). BIP aims to open more opportunities for learners to participate in blended mobilities, supporting the development of transnational and transdisciplinary curricula and innovative teaching methods such as research-based learning and challenge-based approaches.th and 15th, 2022, to promote a basic understanding of QEEG analysis and its applications in a multidisciplinary environment. This innovative event was the first BIP of the NeurotechEU alliance, developed with its academic partners: UMFIH through Erasmus+ department and RoNeuro Institute for Neurological Research and Diagnostic.The first edition of the QEEGSS educational program was conducted in Cluj-Napoca, Romania, between July 11e.g., medical school students, psychologists, neuroscience or PhD students) from six European countries , facilitating multidisciplinary interaction and exchange of skills.The five-day training followed a simple-to-complex approach, from the source and principles of EEG to the most complex types of QEEG analysis. It provided early-stage researchers with a basic yet modern understanding of where QEEG has arrived today and potential avenues for its development. QEEGSS brought together junior researchers with a common interest in QEEG and distinctive backgrounds and the Society for the Study of Neuroprotection and Neuroplasticity (SSNN) .This educational and practical event was set up to unfold over 5 days in two locations: UMFIH on the first two days and RoNeuro on the following days for the hands-on sessions. Furthermore, as part of the BIP recommendations, the final lecture was developed as a virtual course with innovative interactive resources. A total of 23 delegates from different countries participated in the intensive program: Germany \u2013 Bonn University (6 delegates), Bulgaria \u2013 Medical University of Sofia (4 delegates), the Netherlands \u2013 Radboud University (3 delegates), Slovenia \u2013 Maribor University (2 delegates), Hungary \u2013 Debrecen University (1 delegate), Romania \u2013 UMFIH (6 delegates), Carol Davila University of Medicine and Pharmacy, Bucure\u0219ti (1 delegate).Participants were given the opportunity to share their knowledge and experience on conventional EEG, discuss and question basic concepts, and analysis of QEEG. Ultimately, the delegates were divided into five teams, and the goal of each team was to develop a project idea that involved the QEEG assessment of subjects with specific pathology. Then, being provided with a potential methodological approach, they were invited to build up a research proposal and an elevator pitch as they were applying for a grant, convincing the evaluation board that their ideas were relevant and feasible.All participants were early-stage researchers with distinctive backgrounds from medical sciences up to psychology, with an interest in the QEEG assessment of neuropsychiatric physiology and pathology.Prof. Dafin Fior Mure\u015fanu opened the QEEGSS with an overview of the new paradigms in neurophysiology research and the importance of extending the knowledge about neuroscience inside an ever-increasing technology in this field.After the introduction, the participants were divided into five teams and encouraged to propose a research hypothesis aligned with their shared interests, which could be tested through QEEG. Each team came up with creative project proposals, such as:The effects of antidepressants on sleep architecture in offspring rodents with a history of prenatal stress;The benefits of mindfulness meditation in young ADHD subjects;The effects of imagination of motor action on mu waves.In the second part of the day, Dr. Livia Popa lectured on the fundamentals of EEG, describing the sources of the electric scalp activity and recording principles . ThroughThe following presentations focused on spectral analysis, time-frequency decomposition, and various connectivity analyses. First, Dr. Victor D\u0103bal\u0103 presented how a Fourier transformation (FT) works, emphasizing the Fast Fourier Transform (FFT) and the convolution theorem. Next, Dr. Diana Chertic introduced the most used methods for obtaining time-resolved frequency representations of EEG data and for assessing the connectivity in the time domain. Finally, Dr. Hanna Drago\u0219 covered the basics of several connectivity methods such as coherence, phase-locking value, and the Granger causality. By being asked to fixate on a central flashing dot while ignoring the dots existing anywhere else in the visual field, the participants were introduced to the concepts of selective attention and motion-induced blindness as changes in communication structure between brain areas. QEEG applications in daily neurological practice were highlighted through clinical cases that entertained the participants in debates on differential diagnoses from neurodevelopmental to neurodegenerative disorders.The third day occurred at the RoNeuro Institute for Neurological Research and Diagnostic. The institute has a multidisciplinary clinical activity and a research branch driving innovation in neuroscience across sectors. The day started with Dr. Livia Popa offering an interactive and comprehensive presentation about EEG patterns, types of activity, and artifacts. The participants were also instructed on the features of EEG in neurological disorders, comprising a full dive into the complex concept of EEG.Dr. \u0218tefan Strilciuc then coordinated a hands-on experience targeting the Independent Component Analysis (ICA) technique, used for two fundamental QEEG steps: cleansing the data prior to the analysis and identifying the brain sources of specific signal patterns.The hands-on session continued on the fourth day, when the participants could record the EEG of a randomly assigned participant. Afterwards, they were instructed on the preprocessing and analysis of the recorded signal, both activities led by Dr. Livia Popa. Using the EEGLAB software, the time series data was first referenced, filtered, cleared from artifacts and bad segments, and analyzed using FFT and time-frequency decomposition. Some source reconstruction techniques were also employed, and the participants were introduced to the forward and inverse problems.The last day of QEEGSS started with an online lecture, which offered a basic overview of several technologies that can be used in conjunction with QEEG, covering their development, functions, mechanisms, and research applications. Therefore, concepts like transcranial magnetic stimulation (TMS), functional magnetic resonance imaging (fMRI), functional near-infrared spectroscopy (fNIRS), eye tracking (ET), magnetoencephalography (MEG), transcranial direct-curent stimulation (tDCS) and transcranial alternating current stimulation (tACS) were developed through innovative interactive virtual resources by Dr. Irina Vlad.QEEG participants had the opportunity to enrich their local experiences by attending various leisure and cultural activities, such as familiarizing with the Romanian culture and language, exploring the Turda Salt Mine (recently considered for UNESCO heritage inclusion), sharing a multicultural dinner, experiencing a deep dive into the history and architectural landmarks of Cluj-Napoca through a guided visit to the city's historical center, and, lastly, exploring the Alexandru Borza Botanical Garden.The QEEGSS lectors and participants contribuEU. As quantitative electroencephalography is becoming a reliable tool for experts in the interconnected fields of neurosciences and biotechnology, the event cleared a possible pathway regarding the interest of future generations in exploring the boundaries of their field of expertise.The first edition of QEEGSS marked the beginning of BIP educational events within the alliance of NeurotechConsidering the critical significance of international collaboration and the continuous need for multidimensional and multidisciplinary approaches for neurotechnology applications in research settings, the QEEGSS offered a peak into QEEG and its potential to drive developments in clinical neuroscience and beyond."}
+{"text": "Dear Editor,Along with the increasing administration of COVID-19 vaccines, in the last months, the detection of potential adverse skin reactions has increased, highlighting the possibility that not only SARS-CoV-2 infection but also COVID-19 vaccines can induce cutaneous manifestations.A 61-year-old Caucasian woman presented to our department with a 3-month history of ten, symmetrical, whitish, xerotic and sclerotic plaques, with a diameter ranging between 5\u202fcm and 12\u202fcm localized in the abdominal area, lower limbs, back and upper limbs A. Her faGM is identified by more than four plaques, at least 3\u202fcm, that involves two or more anatomical regions and differs from scleroderma by the absence of Raynaud phenomenon, sclerodactyly, facial involvement, nail fold involvement, and specific autoantibodies.None declared.Giovanni Paolino: Study concept and design; intellectual participation in the propaedeutic and/or therapeutic conduct of the studied cases; writing of the manuscript or critical review of important intellectual content; final approval of the final version of the manuscript.Matteo Ricardo Di Nicola: Writing of the manuscript or critical review of important intellectual content; final approval of the final version of the manuscript.Nathalie Rizzo: Study concept and design; intellectual participation in the propaedeutic and/or therapeutic conduct of the studied cases; final approval of the final version of the manuscript.Santo Raffaele Mercuri: Study concept and design; intellectual participation in the propaedeutic and/or therapeutic conduct of the studied cases; final approval of the final version of the manuscript.Nathalie Rizzo and Santo Raffaele Mercuri share the co-last authorship.None declared."}
+{"text": "Exosomes are a class of extracellular vesicles (EVs) comprising a heterogenous population of biological nano-vesicles enclosed by a lipid bilayer . All eukShpigelman et al., at the University of California, San Diego, CA, United States, are reporting a pioneering study developing a reporter cell line for quantitative measurement of EV release from antigen-presenting cells (APCs) in a phenotypic high-throughput screening format. They show that the new, dual-reporter cell line exhibits robust responses and has the potential to become an excellent research tool for the screening of compounds that induce or inhibit EV release by APCs. An article by Shukla et al., at the University of California, San Diego, CA, United States, aimed at identifying small molecules that could induce EV release in a human monocytic leukemia THP-1 reporter cell line. They described a process of screening the EV release that could add a new dimension to structure-activity relationship studies of vaccine adjuvant activity. A study by Olivero et al., at the University of Genoa, Italy, addresses the important question of whether exosomes are actively released from presynaptic nerve terminals. Their findings provide strong evidence supporting the release of EVs from presynaptic structures and indicate an increased EV release upon exposure of synaptosomes to a depolarizing stimulus.Alsop et al., from the group of one of our Research Topic Editors, Dr. Kendall Van Keuren-Jensen at the Translational Genomics Research Institute, Phoenix, AZ, United States, together with multiple collaborators, have generated an atlas of small RNAs from 30 different tissues and three different blood cell types. They analyzed various tissues for the enrichment of small RNA sequences, assessed their expression in different human biofluids in cell-free circulation as well as from EVs on the miRNA cargo in cerebrospinal fluid-derived EVs and to determine if AD risk factors have an impact on EV-associated miRNA expression patterns. Their study showed that APOE-\u03b54 and female sex, two known risk factors for the disease, influence EV-associated different miRNA levels in the CSF of patients with AD. Bilousova et al., at UCLA, CA, United States, led a multi-omics study analyzing putatively microglia-originating small EVs from cryopreserved human brain tissue in search of novel biomarkers for Alzheimer\u2019s Disease. The analysis included lipids, proteins, and miRNAs in microglia-originating small EVs from human brain tissue and indicated the release of neuronal and myelin materials via EVs. Another important finding was a significant decrease in docosahexaenoic acid levels in AD, which potentially could be used as a biomarker. A review article by Ghosh and Ghosh from the Indian Institute of Technology Jodhpur, India, described in detail the role of small EVs as pathogenic agents transmitting toxic protein forms that propagate neurodegenerative disorders throughout the CNS. It is becoming increasingly evident how small EVs can be harnessed in identifying neurodegenerative disease biomarkers , Milan, Italy, demonstrated that EVs isolated from the plasma of patients with COVID-19 harbor SARS-CoV-2-related protein materials. They observed that EVs recovered from patients with mild symptoms effectively modulated antigen-specific CD4-positive T-cell responses. The study also suggested that the patient-derived EV-associated proteins not only induced an immune response, but also the EV cargo could help identify the pathological state of patients in the acute phase of the disease.A timely study by Moros et al., at the Universidad de Zaragoza, Zaragoza, Spain, and Istituto di Scienze Applicate e Sistemi Intelligenti, Pozzuoli, Italy, isolated EVs from the freshwater cnidarian polyp Hydra Vulgaris and investigated their biochemical, morphological, and functional characteristics. The analysis showed that EVs released by this species transfer protein and major components of axial patterning, modulating foot and head regeneration. A review article by Fang et al., China Agricultural University, Beijing, China, and Dr. Brett M. Tyler Oregon State University, Corvallis, OR, United States compiles information regarding recent research on the biogenesis of EVs and their pathobiological functions in organismal communication of microbes. The authors highlighted key questions related to the transfer of genetic materials between species which requires further exploration in this direction.Kutchy et al., at the University of Nebraska Medical Center, Omaha, NE, United States, and collaborators in Grenada and China showed that EVs could be used as a vehicle for the effective delivery of drugs to the brain. The authors investigated the biodistribution of ultra-small, iron oxide-labeled, mouse astrocyte-originating EVs after intranasal perfusion in mice and suggested that engineered EVs could be utilized for targeted delivery of therapeutics into several organs including the brain. In another review article, Zheng et al., from Fudan University, Shanghai, China, summarized the current research advances on the involvement of EVs in the pathogenesis, diagnosis, and treatment of the autoimmune disease, systemic lupus erythematosus (SLE) and lupus nephritis (LN). In this article, the authors have discussed the role of several immune cell-originating EVs in the regulation of the innate immune responses and highlighted the necessity of further research to fully understand the involvement of EVs in the pathophysiological mechanisms of SLE and LN.The delivery of therapeutics across the blood-brain barrier for brain disorders has remained challenging despite recent progress . A studyKang et al., at the University of Illinois, Chicago, IL, United States, studied the effects of the inflammatory cytokines on mesenchymal stem cell-derived EV-mediated immunomodulation. They concluded that TNF\u03b1 preconditioning of human mesenchymal stem cells results in the generation and release of EVs that can alter the phenotype of macrophages, both in vitro and in vivo. Corsello et al., at the University of Texas Medical Branch at Galveston, TX, United States, investigated the presence of innate immune mediators, including interferons in EVs, released from airway epithelial cells infected with the respiratory syncytial virus. The study found significant levels of soluble and EV-associated interferon \u03bb in nasopharyngeal secretions (NPS) and NPS-derived EVs from children with respiratory syncytial virus infections.While EVs have been extensively studied in the field of cancer and someOverall, this Research Topic covers broad aspects of extracellular vesicle biogenesis, their isolation and characterization strategies, involvement in intercellular communication, and the roles EVs play in different human diseases. The topic also includes articles that investigated and discussed the possibilities of using small EVs as potential disease biomarkers and opportunities for therapeutic applications. These basic, translational, and clinical studies demonstrate the importance and high potential of EVs in human health and diseases including neurodegenerative disorders and cancer, as well as in understanding intercellular communication in low organisms, including microbes and polyps. Future scientific efforts to fully understand the mechanisms of EV-mediated cell-cell communication in health and different disease states are expected to provide critical insights into basic biological processes, development of biomarkers, identification of therapeutic targets, and harnessing EVs as a vehicle for drug delivery."}
+{"text": "From ancient times to the present, mankind has experienced many infectious diseases, which have mutually affected the development of society and medicine. In this paper, we review various historical and current infectious diseases in a five-period scheme of medical history newly proposed in this paper: (1) Classical Western medicine pioneered by Hippocrates and Galen without the concept of infectious diseases (ancient times to 15th century); (2) traditional Western medicine expanded by the publication of printed medical books and organized medical education (16th to 18th century); (3) early modern medicine transformed by scientific research, including the discovery of pathogenic bacteria (19th century); (4) late modern medicine, suppressing bacterial infectious diseases by antibiotics and elucidating DNA structure as a basis of genetics and molecular biology ; and (5) exact medicine saving human life by in vivo visualization and scientifically verified measures (after the 1990s). The historical perspectives that these five periods provide help us to appreciate ongoing medical issues, such as the present COVID-19 pandemic in particular, and remind us of the tremendous development that medicine and medical treatment have undergone over the years. From ancient times to the present day, the most important mission of medicine and medical care has been to diagnose and treat illnesses. It is well known that medicine before the 18th century was fundamentally different both in medical perception and medical scientific technology from what followed . Until tAfter recent studies on the history of medical education ,4, we neSince the beginning of the year 2020, the COVID-19 pandemic caused by SARS-CoV-2 has not only inflicted severe damage on the world economy but also caused indescribable suffering to people around the world. Although this experience has been a very disastrous one, it has also provided us with an opportunity to once again reaffirm the relevant roles of medicine and medical care for the world. At the same time, it is also relevant to recall the emergence of these great infectious diseases that have occurred one after another in history as part of the common experience of humankind.The Western medical tradition began in ancient Greek and Rome since 5th century BC, long before the discovery of infectious pathogens and without the concept of infectious diseases. The medical documents of Hippocrates and Galen were handed down and compiled into medical textbooks in the Middle Ages. From the records they contain of several devastating plagues, their causative pathogens have been investigated and interpreted by modern researchers from the symptoms and the modes of progression described therein.Corpus Hippocraticum) . Phy. PhyTheopeatedly .Box 1Theoria (theory of medicine), the theoretical foundations of medicine in five subdivisions, including Physiologia, Pathologia, Semeiotica, Hygiena, and Therapeutica(A) Practica (practice of medicine), the individual illnesses(B) Anatomia et Chirurgia (anatomy and surgery), the structure of the human body as a basis of medicine, and its application to surgical operations(C) Botanica et Pharmatica (botanics and pharmaceutics), botanical remedies, utilizing botanical or herb gardens for education and research(D) Practica books dealt with the diagnosis, therapy, and prognosis of individual illnesses, including both the regional illnesses a capite ad calcem (from head to toe) and systemic illnesses such as fevers [Practica books, indicating there was no collective concept of infectious disease at that time , gastrointestinal symptoms (diarrhea and vomiting), respiratory symptoms (cough and dyspnea), and so on, were confused with the diseases and represented the illness. In the 19th century, the pathological changes of organs found by postmortem autopsy were regarded to be the cause of diseases, or the illness itself. There are several diagnostic innovations observed during this time Box 2)..Box 2).Box 2Jean-Nicolas Corvisart: Discovery of the diseases of the heart and great arteries conducted in vivo diagnosis using the chest percussion maneuver (1806).Ren\u00e9 Th\u00e9ophile Hyacinthe La\u00ebnnec: Development of indirect auscultation and discovered pulmonary diseases supported by observations made during autopsy (1819).Richard Bright: Discovery of the kidney diseases by autopsy of dropsy patients after scarlet fever (1827), which came to be known as Bright\u2019s disease.Rudolf Ludwig Carl Virchow: Cellular pathology (1858) and recommended histopathological diagnosis, which improved the accuracy of pathological diagnosis.Surgery up to the 18th century had high risks of developing bacterial infections peri- and post-operationally, and its application was limited to the treatment of wounds and tumors on the body surface. The British surgical scientist Joseph Lister proposed a disinfection method using carbolic acid in the 1870s and later developed a surgical sterilization method. In the mid-19th century, ether anesthesia was performed in a public surgery in the United States (1846), and the anesthesia method spread rapidly to Europe and the United States. These innovations enabled surgical operations of visceral organs deep in the body, such as the digestive, respiratory, and reproductive organs .Box 3Joseph Lister: A disinfection method using carbolic acidin the 1870s and later developed a surgical sterilization method.TheodorBillroth: Pyloric resection (1881) and gastrectomy (1885)William Halsted:Development of radical mastectomy for breast cancer (1889)Harvey Cushing: Apioneer of brain surgery (from 1912)With the Industrial Revolution and urbanization in the 19th century, the water-borne diseases of dysentery and cholera became common causes of death in many countries see Sup.contagio\u201d (contact) had been used since the 16th century [In the mid-19th century, the causes of plagues and epidemics were still obscure, and miasma (contaminated air) and contagion (disease seeds) were discussed as possible causes of diseases. The German anatomist Jakob Henle (1840) classified the causes of diseases into miasmas, contagions, and miasmatic-contagions . The con century .Bacillus anthracis [Mycobacterium tuberculosis (M. tuberculosis) (1882) [Vibrio cholerae (V. cholerae) (1884) [Yersinia pestis (Y. pestis), the pathogen of the plague (1894). Bacteriology was the mainstream state-of-the-art science, leading to the discovery of numerous pathogens during this period and reventhracis , Mycobac) (1882) , and Vib) (1884) , all thrs period .specielle Pathologie\u201d in German, and \u201cpathologie interne\u201d in French. In these textbooks, the diseases of organs were arranged according to individual organ systems in addition to systemic diseases. As the most popular textbook in this period, Niemeyer\u2019s Lehrbuch der speciellen Pathologie und Therapie (1858) [In the 19th century Europe, medical textbooks dealing with the diagnosis, therapy, and prognosis of individual diseases were published under various titles such as \u201cpractice of medicine\u201d in English, \u201ce (1858) recognizIn the 20th century, the increased international mobility and the worldwide wars spread serious airborne infectious diseases, such as influenza and tuberculosis. On the other hand, medical science succeeded in overcoming the infectious diseases by antibiotics against bacterial pathogens and by identifying specific pathogenic viruses.The investigation of antimicrobial agents began with the discovery of pathogenic bacteria at the end of the 19th century. Salvarsan and sulfonamides were produced by chemical synthesis in 1911 and 1935, respectively . AlexandStaphylococcus aureus (S. aureus) was, however, reported in 1942, the same year of the introduction of Penicillin G [S. aureus (MRSA) was first reported in 1961 [Bacterial infectious diseases were significantly suppressed by antibiotics, and deaths from infectious diseases such as tuberculosis and gastroenteritis decreased sharply after World War II . Penicilcillin G . This le in 1961 , and rap in 1961 [At the end of the 19th century, while bacteria were discovered, viruses such as influenza and smallpox were not yet known. Tobacco mosaic virus was the first virus to be discovered in 1892 by Dmitri Ivanovsky . Dutch ms fluid) . At the s fluid) .The electron microscope, invented in 1938 by German scientists Max Knoll and Ernst Ruska, enabled the observation of virus morphology . During By the mid-19th century, the records of six influenza pandemics remained ,42, and Principles and Practice of Medicine [In the early 20th century, infectious diseases increasingly attracted the attention of researchers after the discovery of pathogenic bacteria at the end of the 19th century. The contents of medical textbooks in this period generally listed the infectious diseases at the top, followed by diseases of organs in various organ systems, as exemplified by the most notable textbook of the time, Osler\u2019s n, 1920) , initially introduced in 1977 for the treatment of herpes simplex virus infections caused by HSV-1 (herpes simplex virus type 1) ,47. SoonSeen from the perspective of the history of medical science, current medicine obtained robustness in the diagnosis and treatment of infectious diseases. Even though human society faces emerging issues such as the ongoing pandemic, the global burden of antimicrobial resistance remains one of the most urgent health threats. AIDS is still the leading cause of death across Sub-Saharan Africa, although antiviral drugs have been developed. Since the beginning of the 21st century, three coronavirus pandemics have emerged, the present one of which is still ongoing see Sup.The outbreaks occurring prominently during the period of exact medicine are associated with interactions between humans and domestic and wild animals. In fact, approximately 75% of emerging human diseases in the period of late modern medicine and exact medicine have been zoonotic ,51. One Harrison\u2019s Principles of Internal Medicine, 20th edition (2018) [Since the end of the 20th century, various novel categories of diseases were recognized in addition to infectious diseases and diseases of the organs, including malignant tumors, autoimmune diseases, endocrine and metabolic disorders, and diseases caused by environmental factors. These topics were included in the medical textbooks in this period as exemplified by the widely adopted, best-selling American textbook n (2018) (see SupBy following the history of medicine since the ancient Greek and Roman period and the severe experiences with various infectious diseases, we can better appreciate the current state of medical scientific achievement. When seen through the historical viewpoint on infectious diseases, advanced \u201cexact medicine\u201d has greatly minimized the impact of COVID-19, which has caused significant damage to society and humanity. The fear of COVID-19 has been remarkably reduced thanks to exact medicine, and human civilization must continue to co-exist with SARS-CoV-2. The world in the post-COVID era may never be the same as before, as the historical infectious diseases changed society, economy, and human life in each epoch. It is evident that novel world health issues will continue to emerge. In 2022, as the COVID-19 pandemic continues, monkeypox outbreaks have been reported from non-endemic and endemic countries in widely disparate geographical areas . Further"}
+{"text": "Cultural competence and related terms began to appear in the 1960s in the context of the development of civil rights movements in many countries. The importance of research of cultural competence among mental health professionals is raised with the globalization trends of the modern world, when the growth of ethno-cultural diversity, internal and external migration, temporary movement of people lead to intensification of intercultural interaction.The current study aims to reveal contemporary tendencies in cultural competence understanding and development.Theoretical analysis and systematization of research publications in order to clarify concepts, models and applications of cultural competence.The following tendencies were revealed. Cultural competence continues to attract significant attention of researchers and practitioners, especially among the mental health specialists who work with representatives of different cultures. A number of similar concepts and their components have been proposed: cultural competence, intercultural communicative competence, cross-cultural competence, cultural intelligence, cultural awareness, cultural acceptance, intercultural sensitivity, intercultural adaptation, multicultural competence, multicultural orientation. The difficulties and limitations of existing models noted: a shift of attention to a specialist, but not to a client; borrowing static and absolutistic ideas about cultures, without consideration of cultures development and interaction.There is a trend in contemporary global world for broad research and development of cultural competence that improve professional qualities of healthcare professionals and provide psychological assistance to representatives of different ethnic and culture groups, confessions and minorities. The reported study was funded by the Russian Foundation for Basic Research, project number 17-29-02506.No significant relationships."}
+{"text": "The current research examined how the associations between the level and changes in the Big Five personality traits and different types of health outcomes differ across ages over the lifespan and during the aging process in particular. Using data from the two large longitudinal studies, we observed three important patterns based on the results. First, levels and changes in personality traits demonstrated substantial effects on health across different life phases, with the effects observed even in very old ages. Second, overall, the prospective relations between personality traits/changes in personality traits and health outcomes increased in strength in mid adulthood and/or early stages of late adulthood; however, the strength of their connections diminished in very old ages. Finally, there were some trait-specific and health outcome-specific patterns in the age-differential associations between personality and health."}
+{"text": "The paper uses the analytic hierarchy process (AHP), spatial autocorrelation analysis, and geographic detectors to reveal the spatial pattern of agricultural production space suitability in China, explores the impact mechanism of agricultural production development, and explores the optimization and promotion strategies for the development of regional agricultural production in various regions in the future. The results show that the resource and environmental carrying capacity, and the agricultural production space suitability under the direction of China\u2019s agricultural production function, show a \u2018polarization\u2019 development trend in space, with high levels in the southeast and low levels in the northwest, with significant spatial agglomeration. The factors influencing the suitability of agricultural production have significant spatial differentiation laws in the Nine Agricultural Areas of China. Climate change factors are the dominant factors affecting the areas with poor resource endowment and traditional agricultural areas in the northwest. Factors that reflect the level of urbanization are the main factors that affect the agricultural production space suitability in the middle and lower reaches of the Yangtze River and South China. China\u2019s agricultural production spatial suitability areas can be divided into nine types of suitable geographical areas. In the future, the impacts of climate change and urbanization on agricultural production space should be considered, and strategies should be taken, according to local conditions, in different regions to improve their suitability. For a long time, the one-sided pursuit of economic growth in urban development, the extensive development mode of urban construction land expansion and the one-way unbalanced flow of urban and rural factors have greatly squeezed the production space of agriculture . At the Agricultural production space is a complex system, affected by social, economic, cultural, institutional and other dimensions, as well as the interaction of national and local top-down multi-scales ,11. The China is the world\u2019s largest food producer and also the country with the fastest urbanization rate. In the context of climate change and urbanization, studying the suitability of China\u2019s agricultural production space has important enlightenment significance for agricultural production and layout of other developing countries in the world, and can provide useful experience for coordinating urbanization and agricultural development. This paper attempts to identify the dynamic evolution process of agricultural production space suitability in China by constructing a comprehensive index evaluation system for agricultural production space suitability evaluation, and analyzing the impact mechanisms and optimization strategies of different scales, locations and types of agricultural production space. This paper seeks to fill the gap in the existing research on the suitability of agricultural production space, which has neglected the impact of climate change and urbanization. By filling this gap, this paper helps in explaining and understanding the evolution trend and law of agricultural production space in China, and provides a reference for the optimization and adjustment of agricultural space and sustainable agricultural development in the future.The main structure of this paper is as follows: In order to analyze the agricultural production space, this paper first constructs the evaluation index of agricultural production space suitability. Based on the conceptual definition and understanding of the spatial suitability of agricultural production ,35,36, tIn order to analyze the relationship between the suitability of agricultural production space and urbanization and climate change, this paper starts from the connotation of urbanization and climate change, and combines the relevant research on the impact of urbanization and climate change on the suitability of agricultural production space . Six indq-statistic. The calculation formula is as follows:In this paper, geodetectors are used to analyze the factors affecting the spatial suitability of agricultural production. Geodetection is a quantitative research method that detects spatial differentiation characteristics and reveals the driving factors and influencing factors behind spatial differentiation ,40, and h = 1, \u2026, L is the number of secondary regions. In the formula, q is . When q = 0, it indicates that the spatial distribution of agricultural production space suitability in China is in a random distribution state. An increase of q shows that the influence factors of independent variables have a greater impact on agricultural production space suitability in China. This paper selected five indicators, population density, night light index, added value of secondary production, water and heat balance index, and annual average temperature, to detect the impact of urbanization and climate change on the spatial pattern of agricultural spatial suitability in China.The threshold range of According to the regional conditions, development orientation, resource and environment carrying capacity, suitability degree of agricultural production space and other factors of different agricultural production spaces, and referring to the traditional naming method of regional types , this paChina Statistical Yearbook (County-Level). The mean elevation was derived from the SRTM 90 m DEM Digital Elevation Database. The soil erosion degree and the spatial distribution index data of China\u2019s annual 1 km vegetation index (NDVI) were obtained from the website of the Resources and Environment Science Data Center, Chinese Academy of Sciences . The Chinese water system vector shp data came from the National Geomatics Center of China . Meteorological data, such as precipitation, accumulated temperature, and temperature, were derived from the China Regional Surface Meteorological Element-Driven Dataset of the National Tibetan Plateau/Third Pole Environment Data Center . The land use data were derived from the China Multi-period Land Use Land Cover Remote Sensing Monitoring Dataset (CNLUCC). The traffic data came from the geographic data sharing service platform of the College of Urban and Environment Sciences, Peking University. The vegetation net primary productivity data came from the Google Earth Engine platform .The social and economic data, such as the fertilizer application amount and the total power of agricultural mechanization, in the comprehensive evaluation system of agricultural production space suitability were mainly acquired from the The Nine Agricultural Areas of China reflect agricultural development conditions, agricultural production conditions and agricultural spatial patterns in a certain period, and are the result of a planning and implementation process that integrates elements of nature, society, economy and ecology ,43. Its The spatial distribution characteristics of the suitability of agricultural production space were obtained by overlaying and processing the grid data of the indicators of the spatial suitability of agricultural production from 1), night light index (X2), land-average secondary industry added value (X3), water\u2013heat imbalance index (X4), average annual temperature (X5), and crop water demand (X6), were detected. The matching degree of spatial characteristics was analyzed for four first-level suitability indicators, including resource environmental bearing capacity (Y1), spatial form (Y2), location conditions (Y3), and production conditions (Y4). In addition, based on the detection of influencing factors, this paper selected the three most powerful factors for each first-level index of suitability for spatial matching , the average secondary production value added (0.407), population density (0.373), night light index (0.177), crop water requirements (0.018) and water\u2013heat imbalance index (0.014). The agricultural production space suitability in China was mainly affected by factors such as the average annual temperature, the average industrial added value of the land, and the population density , land-average secondary production added value (0.407), population density (0.373), night light index (0.177), crops\u2019 water demand (0.018) and hydrothermal imbalance index (0.014). The agricultural production space suitability was mainly affected by factors such as the average annual temperature, the average industrial added value of the land, and the population density.The agricultural production space suitability is subject to the comprehensive disturbance of multi-dimensional factors, such as climate change and urbanization. This paper selected three indicators, population density, night light index and land-average added value of secondary production, which reflect the development level of urbanization, and reflect the degree of climate change. The water\u2013heat imbalance index, the average annual temperature and the crop water demand, and a total of 6 indicators, were used to conduct in-depth exploration and research on the formation mechanism of the spatial pattern of agricultural production space suitability in China. Using the classification of the agricultural production space suitability in China and the classification results of each influencing factor, coupling matching analysis was carried out, and the distribution results of the agricultural production space suitability in China, and the spatial matching of elements in 2018, were obtained . The q sq statistic for each influencing factor and the first-level indicators of resource and environmental carrying capacity, spatial form, location conditions and production capacity. The spatial matching degree between the top 3 influencing factors of the force and the 4 first-level indicators was analyzed ; Lower suitability zone, dominated by severe cold temperatures in Qinghai Tibet Plateau (II); Higher suitability zone, dominated by the optimization of water\u2013heat matching degree in the Northeast China Plain (III); Higher suitability zone, dominated by warming and drying in Loess Plateau (IV); Higher suitability zone, dominated by industrialization in Huang-Huai-Hai Plain (V); Medium suitability zone, dominated by topography in Sichuan Basin and surrounding regions (VI); High suitability zone, dominated by comprehensive factors in the Middle\u2013lower Yangtze Plain (VII); High suitability zone, dominated by the altitude difference in Yunnan-Guizhou Plateau (VIII); High suitability zone, dominated by population agglomeration in Southern China (IX) . An optiThe differences in resource endowment, socio-economic conditions, location conditions, and government policies, of the different types of agricultural areas resulted in different suitability characteristics and development paths among the various types of agricultural areas. There were also significant differences in the mathematical characteristics of resource and environmental carrying capacity conditions, spatial form conditions, location conditions, production conditions, and suitability characteristics . Based oLand resources, water resources, climate conditions and environmental conditions are the basic factors that affect agricultural production and play a decisive role in the suitability of agricultural production space. First of all, climate change leads to changes in planting systems and crop production layout. Global warming has led to an increase in the temperature in middle and high latitudes of China, leading to an earlier crop sowing date, a later winter season, an overall extension of the growing season, and an increase in the accumulated temperature during the winter, which may lead to changes in planting systems. More northern and high-altitude regions can carry out multi-cropping production and planting, and the planting areas expand northwards. The multiple cropping index increased, and the suitable planting area was further expanded . SecondlThe rapid progress of urbanization and industrialization has brought China many conveniences, such as economic development, social progress and industrial upgrading, as well as positive and negative effects on the suitability of agricultural production space. First of all, the urbanization process has brought a lot of agricultural transfer population, and the modern non-agricultural sector has absorbed a large amount of labor from rural areas, which has brought about the non-agricultural transfer of agricultural production subjects and optimized the allocation of urban and rural resource elements. Secondly, the rapid progress of urbanization has led to extensive and disorderly expansion of construction land, which has had a far-reaching impact on agricultural production subjects and space, leading to reduction of the quantity and quality of cultivated land, the occupation of high-quality cultivated land and permanent basic farmland, and great reduction in the suitability of agricultural production space. For example, in the middle and lower reaches of the Yangtze River, where there is a high degree of economic and social development, and, likewise, in the southeast coastal areas, agricultural production space has become fragmented and decentralized due to the interference of high intensity human activities; thus, affecting the suitability of agricultural production space. Finally, urbanization has driven the development of urban industry and technological progress, and has had multiple effects on agricultural production space. On the one hand, the development of urban industry drives the innovation of agricultural technology. Industrialization provides more advanced and convenient mechanized production tools for agricultural production, effectively saves the labor input cost of agricultural production , improveIn addition, price mechanism, livelihood mode, policy guarantee and technology input are also auxiliary factors that affect the suitability of agricultural production space in China. First, the market price mechanism affects farmers\u2019 willingness to plant, and the fluctuation of market price affects the income of agricultural producers engaged in agricultural production activities, thus, affecting the enthusiasm of agricultural producers engaged in agricultural production activities. This then affects the way agricultural production entities engage in agricultural production and operation activities, causing changes in the quality of agricultural production space, and, ultimately, leading to changes in the suitability of agricultural production space. Second, the shift of the main agricultural production body\u2019s part-time livelihood mode is also an important factor affecting the suitability of agricultural production space. Areas such as the middle and lower reaches of the Yangtze River and South China have conditions conducive to production, such as high matching of water and heat resources, flat terrain for farming, and abundant labor force. However, these areas often have a high level of economic development, and the labor income of central cities is significantly higher than that of rural areas. Farmers, based on the consideration of rational economic people, tend to move to cities and the surrounding areas to engage in other occupations with higher returns. As a result, a large number of agricultural production subjects, mainly young and middle-aged people, have turned to non-agricultural production modes, which has caused problems, such as aging and feminization of agricultural production subjects , and, thBased on the background of the era of urbanization, industrialization and climate change. and the major strategic needs of rural revitalization, sustainable agricultural development and food security, this paper integrated multidisciplinary theories and research methods, and deeply developed the spatial and temporal pattern, evolution process, influencing factors, type of differentiation and coping strategies of agricultural production space suitability in China. The specific conclusions are as follows:First, the proportion of each region in each suitability degree did not change much and was relatively stable in 2000, 2009 and 2018. The areas with poor suitability are mainly located in the Qinghai-Tibet Plateau and the northern arid and semi-arid regions, which have improved a lot in the past 10 years, mainly due to the increase in precipitation in the middle and high latitudes, which has improved the suitability of agricultural planting in this region. From the perspective of the spatial differentiation pattern, the agricultural production space suitability in 2000, 2009 and 2018 showed a polarized distribution, with high levels in the southeast and low levels in the northwest. The agricultural production space suitability in each county in China is significantly affected by the suitability of neighboring counties, showing a significant positive correlation.Second, the factors influencing the agricultural production space suitability in China have significant spatial differentiation laws in the nine agricultural areas in China. Climate change factors, such as annual average temperature and the water\u2013heat imbalance index, are the dominant factors affecting areas with poor resource endowment and traditional agricultural areas in the northwest. Factors that reflect the level of urbanization, such as population density and nighttime light index, are the main factors that affect the agricultural production space suitability in the middle and lower reaches of the Yangtze River and South China with relatively high levels of economic development, good water and heat matching, and favorable location conditions.Third, based on geographical location, the dominant influencing factors of the agricultural production space suitability, the degree of agricultural production space suitability in 2018, and the types of agricultural production space suitability in China can be divided into the following zones: Medium suitability zone, dominated by water\u2013heat imbalance in Northern arid and semi-arid region; Lower suitability zone, dominated by severe cold temperatures in Qinghai Tibet Plateau; Higher suitability zone, dominated by the optimization of water\u2013heat matching degree in the Northeast China Plain; Higher suitability zone, dominated by warming and drying in Loess Plateau; Higher suitability zone, dominated by industrialization in Huang-Huai-Hai Plain; Medium suitability zone, dominated by topography in Sichuan Basin and surrounding regions; High suitability zone, dominated by comprehensive factors in Middle-lower Yangtze Plain; High suitability zone, dominated by the altitude difference in Yunnan-Guizhou Plateau; High suitability zone, dominated by population agglomeration in Southern China.Fourth, agricultural production is a production process that is highly dependent on climatic resources, and, at the same time, is subject to comprehensive disturbances by its production subject and other related subjects. Differences in resource endowment, socio-economic conditions, location conditions, and government policies have resulted in different suitability characteristics and development paths among various types of agricultural areas. The natural conditions, environmental conditions and location conditions of regional agriculture reflect the macro background value of agricultural development in the region. The scientific application of strategies, such as the rational development and utilization of regional agricultural resources, the improvement of acquired technologies and policy guidance, are \u201clate remedy\u201d measures and important approaches for the rational utilization of regional agricultural resource conditions and sustainable agricultural development. In the future, optimization and improvement strategies should be given for the agricultural production space in different regions according to local conditions.This paper enriches the empirical research on spatial adaptability of agricultural production and agricultural sustainable development. It also provides important reference for agricultural regional planning and high-quality agricultural development in other developing countries. Limited by the availability of data, the frequency of natural disasters, farmers\u2019 livelihood choices and market food prices have not been considered, which is also the shortcoming of the paper. As climate change and human activities disturb the agricultural production space more and more intensely, more and more experts and scholars have begun to consider how agricultural production can reduce the frequency of external disturbances and improve the system resilience of agricultural production to actively respond to disturbances. On the one hand, the indiscriminate use of agricultural chemicals worldwide in the last century has increased crop yields to a certain extent, but, at the same time, has brought great damage to terrestrial and aquatic ecosystems. Nanomaterials, biomass charcoal and nitrogen fertilizer, and other new materials, could reduce the disturbance of agricultural production to the outside world. They could also improve the diversification of crops, organic agricultural production, large-scale planting and irrigation in water-deficient arid and semi-arid areas. The resilience of agricultural production could be improved by means of technological upgrading and other means. Therefore, it is urgent to classify the agricultural production space caused by different influencing factors, and to explore the future agricultural development path of each regional type."}
+{"text": "Mental health literacy (MHL) could be defined as a knowledge of mental health, comprehension of its importance, adequate attitude to information about mental health, possession of skills and abilities to provide assistance and self-help to maintain and promote mental health.The aim of the present study is to identify possible relationships between the components of mental health literacy and the manifestations of the emotional sphere of the respondents.The sample consisted of 220 young people from 16 to 23. Emotional Empathy Questionnaire , self-assessment of mental states (G. Eysenck), questionnaire from the study of Reavley et al., and the custom MHL questionnaire were used.Most significant of relationships revealed by Pearson\u2019s Product-moment correlation analysis: Adequate actions of respondents in a mental health-threatening situation inversely correlates with anxiety , aggressiveness , frustration , rigidity . Comprehension of the importance of specialized care inversely correlates with frustration . Helping others in difficult situations correlates with empathy .A low level of the behavioral component of MHL is often manifested with high anxiety, aggressiveness, rigidity, frustration. Correlation between the cognitive component and frustration may indicate that sufficient level of this component does not allow the individual to fall into a state of deep frustration in mental health-threatening situations. Individuals with low level of anxiety, rigidity, aggression are more inclined to understand the importance of seeking professional help. An individual with lower frustration and aggressiveness will less likely choose destructive behaviors .No significant relationships."}
+{"text": "In addition, at least a quarter of the total direct cost impact of healthcare interventions affects other economic sectors. International methods and tools are lacking for the rigorous and comparable assessment of the costs and outcomes of (public) health care from a societal perspective. The H2020 PECUNIA project (grant No 779292) brought together ten partners from six countries (AT/DE/ES/HU/NL/UK) between 2018 and 2021 aiming to improve the comparability and feasibility of multi-sectoral, multi-national health economic evaluations in Europe. A multi-step, mixed methods approach was used following a new harmonized costing concept to develop new methods and tools for the standardised identification, definition, measurement and valuation of costs in multiple sectors justice, education, employment and productivity, and patient, family and informal care), and for the broader, harmonised, supra-national assessment of outcomes using selected mental disorders as illustrative examples. This presentation will summarise the relevant advances in costing methods, give an overview of the developed tools that are now publicly available ("}
+{"text": "Emerging and reemerging plant diseases can be defined as those diseases caused by new or reappearing pathogens which, due to their intrinsic characteristics, have the ability to spread rapidly and cause epidemics in certain agro-climatic contexts. In recent years, both DNA and RNA viruses have been implicated in important disease outbreaks in plants. The different forms of mutation, recombination and other types of genetic exchange, considered as the basis of the evolutionary forces of viruses, have undoubtedly given rise tothe genetic diversity found in plant virus populations. In this context, environmental factors play an important role in driving virus evolution. In addition, the rapid expansion of human activity in the world of commerce, agriculture, anthropization of natural ecosystems and climate change have further contributed to the instability between hosts and virus populations, favouring the emergence of viruses with mutant and/or recombinant forms, with potentially negative impacts on plants, vectors and ecosystems.Lal et\u00a0al.), an important group of emerging viruses with a destructive potential on many crops; capable of causing serious social and economic losses , currently causing major losses in rice production mainly in sub-Saharan Africa (SSA). This review deals with the molecular characteristics of RYMV: the genomic structure, function and gene diversity, and RYMV-host interactions. In particular, the review sheds light on mechanisms related to the qualitative resistances, controlled by three recessive genes RYMV1, RYMV2 and RYMV3, and quantitative resistances, with the description of several QTLs found in Oryza germplasm. Finally, since RYMV shows high genetic variability and some Oryza germplasm has low or non-durable resistance, the review suggests possible genetic improvement strategies for a significant enhancement of rice protection through the use of assisted selection with molecular markers and by employing genome editing to impair susceptibility.The second review addresses the problem of yellow mottle rice virus (YMRV) , with particular reference to the contribution provided by high-throughput sequencing (HTS). The work takes into consideration the period 2011-2020, during which 45 new viruses have been described in tomato, 14 of these identified by HTS. Based on the data present in the literature and in the databases, the authors list 312 viruses, satellite viruses, or viroid species (in 22 families and 39 genera) identified in tomato. This represents the highest number of viral and viral-like agents described in a single botanical species. The work also underlines the importance of the application of HTS for epidemiological studies, in particular for the identification of the virome of weeds and other wild plants, or for the identification of viruses in vectors, irrigation water or wastewater and soil. The HTS analysis of environmental samples helps to greatly improve the understanding of epidemiology and ecology of tomato-infecting viruses and can facilitate virus disease forecasting in order to prevent virus disease outbreaks in tomato. Finally, the review outlines the main tomato viruses, highlighting their potential threat and impact. Newly emerged viruses, such as tomato brown rugose fruit virus (ToBRFV), are capable of overcoming the Tm-22 resistance gene used to contain tobacco mosaic virus (TMV) and tomato mosaic virus (ToMV) infections in greenhouse tomatoes. Tomato spotted wilt virus (TSWV) easily overcomes the resistance mediated by the Tsw hypersensitivity gene in pepper with increasing temperatures. A group of emerging geminiviruses, of subtropical and tropical origins, including tomato leaf curl New Delhi virus (ToLCNDV) and tomato leaf curl virus (TYLCV), mostly are virulent at high temperatures. Their vector, Bemisia tabaci, is notoriously thermophilic and a highly invasive species.The final review concerns the progress on tomato virome research . The work also highlights progress in the detection of ToBRFV, mainly regarding sensitivity, compared to previous methods. This paper also emphasizes the practical advantages deriving from the use of LAMP, since it can be applied by poorly equipped laboratories and unskilled persons at official country points of entry, providing a new diagnostic tool for phytosanitary investigations and management of ToBRFV. The second work describes an RT-qPCR assay for the diagnosis of parietaria mottle virus (PMoV), based on a specific TaqMan\u00ae probe ,. PMoV is considered an emerging pathogen in the Mediterranean basin on tomatoes and peppers. This virus has recently expanded its natural host range assays, both real time and visual, for the diagnosis of ToBRFV on leaf samples and seeds of tomato and bell pepper and desmodium leaf distortion virus (DesLDD) and two deltasatellite. This is the first report of (i) a monopartite New World begomovirus found in a host other than tomato and (ii) deltasatellites found in C. siliquosus, thus extending the host and helper virus ranges of this recently recognized class of DNA satellites.The paper of Crinivirus, family Closteroviridae) (ToCV) is expanding its geographical and host ranges associated with the emergence of whiteflies of the Bemisia tabaci complex (genus Fabavirus in the family Comoviridae), an emerging virus in economically important crops worldwide. They investigated the BBWV2-pepper (Capsicum annuum L.) pathosystem, using two distinct BBWV2 strains, PAP1 (a severe strain) and RP1 (a mild strain). Upregulation of several genes associated with pathogen-associated molecular pattern (PAMP)-triggered immunity (PTI) and ethylene signaling were associated only with the severe PAP1 strain, with high ethylene emission detected. Authors conclude that the activation of PTI-associated defense responses increase symptom development during BBWV2 infection in a virus strain-specific manner.Tomato chlorosis virus (genus complex . Fortes Phaseolus vulgaris L.) in the North-Western Himalayan region of India by Rashid et\u00a0al. Three viruses were identified: bean common mosaic virus (BCMV), bean common mosaic necrosis virus (BCMNV), and clover yellow vein virus (ClYVV), with BCMV more widespread and BCMNV and ClYVV new records from India. In another paper , applied HTS to characterize the virome of Pseudostellaria heterophylla, generated data on three novel carlaviruses and one novel amalgavirus.HTS analysis has been applied to study the diversity of virus(es) associated with common bean and papaya ringspot virus (PRSV) in cucurbits with a novel recombination pattern detected in the HC-pro. Despite the origin from interspecific recombination, they proposed that these viruses still belong to ZTMV according to their genome characteristics; their results provide insights into the prevalence and evolution of ZTMV and PRSV in cucurbits.Vo et\u00a0al.). ToLCNDV-ES hardly infects tomato and some isolates would not at all. Nonetheless, ToLCNDV-ES in the presence of TYLCV proves to be able to multiply and infect tomatoes. In addition to the known risk of formation of recombinants between geminiviruses, this work highlights the risks of a possible expansion of the natural hosts for this group of emerging viruses thanks to the phenomena of assistance and complementation between viruses.The last paper concerns a complementation phenomenon between TYLCV and ToLCNDV-ES, first observed in the field and then demonstrated in the laboratory with agro-inoculations of infectious clones (Emerging and Reemerging Viruses in the Context of Global Change. We are deeply grateful to all the authors and reviewers who with their exceptional work have made possible the realization of this special issue. We believe that this collection will increase knowledge and awareness about the importance of emerging and reemerging viral diseases in order to improve the monitoring and the possible control that derives from them, with the aim to prevent epidemics in agricultural crops.In summary, this Research Topic provides cutting-edge methodologies, research, observations and knowledge on the current scenario of All authors listed have made a substantial, direct, and intellectual contribution to the work and approved it for publication."}
+{"text": "Risk levels of spring pollen allergy for tourists in different assessment units were revealed by combining the green zone allergenicity index model and three-dimensional risk assessment matrix. The results showed that: (1) There were seven primary pollen-allergenic plants in the Summer Palace, including Platycladus orientalis, Sabina chinensis, Salix babylonica, Pinus tabulaeformis, Populus tomentosa Carr, Morus alba L. and Fraxinus chinesis, among which Platycladus orientalis and Salix babylonica were the highest allergenic. (2) Among 18 spots, tourists faced the highest risk level of pollen allergy in spring at three spots, namely the Hall of Serenity, Hall of Benevolence and Longevity, and Gallery of Literary and Prosperity. (3) The two routes of the Long Corridor and Longevity Hill scored high on the risk level. (4) Among four areas, risk levels of the Front-hill and Rear-hill areas were high. Given the increasing spatial-temporal uncertainty of pollen allergy and tourist behaviors under global warming and urbanization, the related monitoring should be strengthened in the future. Furthermore, the dynamic and improved assessment of pollen-allergy risk should be institutionalized and be integrated into the evaluation of tourism experience quality. Tourism administration should make full use of relevant assessment results and conduct more effective risk communication.Pollen allergy has already been an increasingly prominent ecosystem disservice in tourism attractions. However, few studies have assessed the tourist risk of pollen allergy through integrating multidisciplinary knowledge of ecology, medicine, phenology, and risk management. Basing on the conceptual framework of risk assessment proposed by UNISDR, we first established an index system of pollen-allergy risk for tourists in attractions and outlined assessment methods 18 available indexes were put forward to cover three aspects: hazard of plant allergen, tourist vulnerability, and resilience of assessment units. Subsequently, taking the Summer Palace as the case study area, we conducted a tourist risk assessment of pollen allergy. Values of nine available indexes were obtained Pollinosis is a \u201cnational disease\u201d around the world. It can cause allergic rhinitis, conjunctivitis, hay fever or asthma, urticaria, and allergic dermatitis, etc. Patients may suffer from shock and have a risk of sudden death, when correlated symptoms are severe. In developed countries, 20\u201330% of the population is allergic to pollen , while tStudies on pollen allergy came from medicine, ecology, phenology, and some other disciplines. Among them, medicine focused on the difference in the allergenicity and emissions of various pollens, the association between its incidence and the demographic characteristics of patients, and seasonality changes of airborne pollen . EcologySabina chinensis, Populus tomentosa, Fraxinus chinensis, Rhus Typhina, Syringa reticulata, and the latter includes Chrysanthemum morifolium and Brassica rapa. Despite their undeniably benefits of the adaptability to local climatic conditions, the ease of management, and the ability to enhance the landscape, allergenic plants make tourism attractions uncomfortable seasonally for the human respiratory system. Under the background of nature tourism and outdoor education becoming more and more popular, people' exposure to the allergenic environment is increasing.Tourism attractions play a key role in tourism and have become more and more important with the continuous enhancement of Chinese travel desire and payment capability. In 2021, the number of National A\u22125A level tourism attractions in China reached 14196, and their tourism revenue increased to 2.92 trillion yuan, up 31.0% over 2020 . CompareMorus, Robinia and Cerasus yedoensis across many regions have already advanced , factor (B), category index (C) and bottom index (D). The pollen-allergy risk of tourists in attractions was defined as the target (A). According to the risk conception and the pollen-allergy formation mechanism, the target was determined by three factors on the B layer, including the hazard of plant allergen, tourist vulnerability, and resilience of assessment units. As for the hazard of plant allergen, its category indexes and bottom indexes were selected considering both the biological and ecological characteristics of allergenic species. With reference to the meanings of risk exposure and the resistibility of human body in the assessment theory of natural disaster risks , 30, catvia phenological observations and airborne allergen monitoring. Concerning the third category index of tourist exposure, we selected two basic indexes (tourist amounts and dwell time) used in most studies on tourist behaviors. More tourist amounts and dwell time mean greater tourist exposure. According to previous studies, tourist amounts can be obtained via the sampling survey, GPS tracking survey model model , 31 , S = vertical crown projection area covered (m2), H = canopy height (m), ST = total surface area of the assessment unit (m2).Where k = number of pollen allergenic species, NRisk level matrix is another convenient fundamental tool used to assess risk , 30, 38.2, in which 357.20 km2 are parks , canopy breadth and canopy height of every allergenic plant were measured by DBH ruler, tape measure, and laser rangefinder, respectively. During the investigation course, The DBH was measured at the height of 1.3 m, and the canopy breadth was calculated as described by Liu et al. .Platycladus orientalis, Sabina chinensis, Salix babylonica, Pinus tabulaeformis, Populus tomentosa Carr, Morus alba L, and Fraxinus chinesis. Their phenological observation data were obtained from the Chinese Phenological Observation Network . Records of first flowering dates (FFD), full blooming dates (FBD) and end of flowering dates (EFD) of them in 2021 were extracted from the dataset, whose observation process conformed to the traditional criteria in China . By use of a search engine developed by Sichuan University was revealed by combining the data mining of visitors' check-in on Sina Weibo and the dwell-time analysis. Among the 18 scenic spots, the Hall of Benevolence and Longevity, East Palace Gate, Gallery of Literary Prosperity and North Palace Gate were most visited in the spring of 2021. Therefore, tourist vulnerabilities of them were the highest. In contrast, the scenic spots of the Marble Boat, Chamber of Cultivation, Hall of Happiness and Longevity, Chamber of Clearness, and West Palace Gate had low tourist vulnerabilities. Among the five scenic routes, the tourist vulnerabilities of the Long Corridor route and the Longevity Hill route were very high and high, respectively, while those of the West and East Causeway routes were both low. As for the scenic areas, the tourist vulnerability of the Front-hill area was very high, while that of the East-lake area was the lowest . OverallBecause all the six medical centers are located near the gates of the park, the distances from the assessment unit to the nearest gate have great influence on their resilience. Among the 18 scenic spots, four scenic spots had the poorest resilience, namely the Garden of Farming and Weaving, Chamber of Clearness, Marble Boat, and Hall of Serenity . AccordiAccording to the assessment results of the three-dimensional risk matrix, tourists in three scenic spots had a very high risk of pollen allergy, whose governance should be given the top priority . In the 2 would increase the likelihood of seasonal allergies throughout the continental USA, with end-of-century emissions being increased up to 200% shows that heat waves will significantly increase the risk of morbidity and mortality, and have a profound impact on population behavior patterns and transportation choices for travel . David M2.5 concentration model and three-dimensional risk assessment matrix to assess and map the risk levels of spring pollen allergy in 18 scenic spots, five scenic routes and four scenic areas. The results showed that: (1) There were 7 primary pollen-allergenic plants in the park, among which Platycladus orientalis and Salix babylonica had the highest allergenic hazard. (2) Among 18 spots, tourists faced the highest risk level of spring pollen allergy in three spots, namely the Hall of Serenity, Hall of Benevolence and Longevity, and Gallery of Literary Prosperity. (3) The two routes of the Long Corridor and Longevity Hill scored high on the pollen-allergenic risk level. (4) Among four areas, the Front-hill and Rear-hill areas were high risky for tourists.Climate change has already affected human health directly and indirectly in China. From the perspective of tourism management, it is imperative to assess the pollen-allergy risk of tourists and visualize it by risk mapping. For this purpose, we established an assessment index system consisting of 18 available bottom indexes, which covered three aspects of allergen hazard, tourist vulnerability and resilience of assessment units. The quantification and coupling of assessment indexes were also outlined. Taking the Summer Palace as the case study area, we obtained the values of nine representative indexes 2 concentration, and extreme events. Urbanization will also affect the local climate, thermal environment and PM2.5 concentration. As a result of these two driving forces, greater uncertainty of pollen allergy risk may occur subsequently in the future. Therefore, under the policy background that Chinese government has placed increasing emphasis on the construction of ecological civilization and the improvement of human wellbeing and public health, the high-quality development of tourism attractions should attach importance to the risk impact of local thermal environment, climate comfort and air pollution and the National Key Research and Development Program (Grant No. 2018YFA0606102).The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest.All claims expressed in this article are solely those of the authors and do not necessarily represent those of their affiliated organizations, or those of the publisher, the editors and the reviewers. Any product that may be evaluated in this article, or claim that may be made by its manufacturer, is not guaranteed or endorsed by the publisher."}
+{"text": "In low- and middle-income countries, facility-based neonatal care practices can be improved using a collaborative cross-learning quality improvement approach incorporating remote mentoring, coaching, and supportive supervision. Combining a training package to improve the knowledge and skills of health care workers in managing sick and preterm neonates with point-of-care quality improvement skills successfully reduced the unindicated use of oxygen, antibiotics, and phototherapy while increasing the use of enteral feeds.Despite a significant reduction in the use of 2 lifesaving medical interventions\u2014oxygen and antibiotics\u2014no increase in mortality or short-term adverse outcome was observed, indicating an overuse of these interventions in the preintervention period.A strategy of combining professional training activities and coaching in continuous quality improvement methods can successfully improve the health care of sick and preterm neonates. With the rapid expansion of access to facility-based neonatal care, it is important to monitor for both overuse and underuse of evidence-based interventions. We evaluated the efficacy of training health care workers (HCWs) in point-of-care quality improvement (POCQI) and a preterm newborn health care package (PHCP), followed by remote mentoring and supportive supervision in improving health care practices, neonatal survival, and morbidities in special neonatal care units (SNCUs).This pre- and postintervention quality improvement study was conducted at 3 SNCUs in Madhya Pradesh, India from February 2017 to February 2019. Clinical care teams comprising doctors and nurses from the study sites were trained in POCQI and the PHCP. The teams identified, prioritized, and analyzed problems and designed quality improvement initiatives at their respective health facilities. Change ideas were tested by the local teams using sequential plan-do-study-act cycles. Facilitators maintained contact with the teams through quarterly review meetings, fortnightly videoconferencing, on-demand phone calls, and group chat service. State SNCU coordinators made follow-up visits to supplement coaching. Study research staff independently collected data on admissions, health care practices, and outcomes of neonates.A total of 156 HCWs were trained in the POCQI methodology and PHCP. Sixteen quality improvement projects were formulated and implemented. Among 13,821 enrolled neonates , improvement was seen in reduction of use of oxygen , antibiotics , and dairy milk . Enteral feeds were started within 24 hours of admission in a larger number of neonates, resulting in fewer days to reach full feeds. There was no effect on survival at discharge from the hospital .A collaborative cross-learning quality improvement approach with remote mentoring, coaching, and supportive supervision was successful in improving the quality of care at SNCUs. Special newborn care units (SNCUs) at district hospitals provide FBNC to about 0.9 million neonates every year, on approximately 16,000 beds across India.\u2013Although the SNCUs have adequate infrastructure and supplies, concerns have been raised about suboptimal knowledge and poor skills of the health care workers (HCWs) that staff them.Can combining knowledge and skills augmentation activities with problem-solving skills improve HCWs\u2019 ability to adapt and adopt evidence-based practices and improve health outcomes in SNCUs?\u2013Our study evaluated whether the implementation of an intervention package to improve the knowledge and skills of the HCWs in providing clinical care as well as undertaking QI activities would improve health care practices, neonatal survival, and morbidities in the SNCUs. To test this hypothesis, we developed a theory of change that formed the basis of the package of interventions .14 The tThis before-and-after study was conducted from February 2017 to February 2019 in the SNCUs of 3 district hospitals and a medical college in the state of Madhya Pradesh, India . All livThe study was coordinated by the All India Institute of Medical Sciences, New Delhi, the Postgraduate Institute of Medical Education and Research, Chandigarh, and the Government Medical College Hospital, Chandigarh. Institutional ethics committees at the 3 coordinating sites and the Indian Institute of Public Health, Hyderabad approved the study protocol. National Health Mission, Madhya Pradesh also approved the study protocol. Written informed consent was obtained from parents of the enrolled neonates, HCWs at the study sites, state SNCU coordinators, and state child health consultants.The study intervention was guided by a theory of change and the work plan was divided into preintervention and intervention phases.\u2013The preintervention phase had 2 components\u2014formative assessment and baseline neonatal data collection. The formative component started with the development of a theory of change based onBOXImprove oxygen administration methodsMonitor and promote the use of continuous positive airway pressure and surfactantOptimize oxygen use:Minimize amount of blood samplingRestrict use of blood productsEffective use of phototherapyReduce exposure to blood products:Early initiation and rapid advancement of enteral feeding with breast milkImprove nutritional status:Improve aseptic techniques at birth and during hospital admissionReduce sepsis:Hypothermia preventionKangaroo mother carePain controlReduce noise and light exposureIncrease parental involvement in careImprove developmental care:www.pretermcare-eliminatingrop.com) were developed and reviewed by 35 neonatologists and nurses from across the country. The Point of Care Quality Improvement (POCQI) tool, developed in collaboration with the World Health Organization South-East Asia Regional Office (WHO-SEARO), guided the training for conducting QI projects.In parallel, we assessed the baseline levels of knowledge, skills, attitudes, and practices of SNCU health care personnel, state SNCU coordinators, and child health consultants. This preassessment focused on the clinical care pathways including the drivers of improvement identified in the theory of change. We also assessed the problem-solving and QI skills of the HCWs. Results of this formative part of the study are being reported separately. Based on this formative phase, we designed, pilot-tested, and finalized a collection of interventions with 2 components: (1) improvement in knowledge and skills of the HCWs in neonatal care and (2) improvement in the ability of staff to practice the knowledge and skills gained by conducting QI activities at their respective SNCUs. The content for training HCWs on best practices in preterm care was called the preterm newborn health care package (PHCP) and included 10 modules composed of brief webinars, videos, case studies, posters, job aids, and key messages. The content of each module was divided into specific learning objectives, with a self-assessment in the form of multiple-choice questions following each objective. The evidence-based content and materials in the PHCP . Activities for knowledge and skill augmentation included small group discussions, skill practice, and simulated clinical scenarios. The second part consisted of clinical data presentation from each SNCU, choosing target areas of improvement, forming QI teams, analyzing the root causes of the problem, and outlining the QI project activities. Each SNCU team not only worked on the development of its own QI project but also reviewed and gave feedback on the QI projects of other SNCUs. During the study, selected HCWs from each SNCU underwent a total of 5 in-person sessions that covered all the modules developed under the PHCP.Ongoing support: In addition to the training in the remaining modules during successive in-person workshops, all the training materials were available online for ongoing training and review. Skill training corners were also established in each SNCU, and a skill lab was established in the mentoring medical college.QI projects and mentoring: The theory of change guided the selection of QI projects. Doctors and nurses working in each SNCU selected specific problems to be addressed by a QI project and decided the goal and outcome measures for each project based on the 4 criteria outlined in the POCQI guide\u2014importance to patient outcomes, affordability in terms of time and resources, ease of measurement of outcome, and whether the identified problem was under the control of team members. Following the workshop, the SNCU teams returned to their units and started working on their respective QI projects. We held web meetings every two weeks to review progress and provide guidance for any bottlenecks encountered. Team members presented their completed projects in subsequent on-site workshops after which they developed and conducted new QI projects. The intervention period continued from September 2017 to February 2019 and over this period each SNCU conducted 3\u20135 QI projects .A study research nurse at each of the 3 SNCUs collected the health outcome data of the admitted neonates. The primary outcome of the study was the proportion of neonates who survived without developing severe ROP. Secondary outcomes included death before discharge, adverse outcomes , hypothermia at admission, neonatal hyperbilirubinemia needing phototherapy or exchange transfusion, and duration of hospital stay. Various care processes reported include enteral feeding practices, use of oxygen and antibiotics, and screening for ROP.The primary outcome of the study was the proportion of neonates who survived without developing severe ROP.We defined the composite primary outcome as neonates discharged alive from SNCU and not found to have severe ROP on screening examination before discharge or during follow-up. We defined severe ROP as ROP needing laser ablation or surgery to prevent loss of vision. Although estimates of mortality among SNCU admissions are available, no such information is available about the incidence of severe ROP, the second component of the composite primary outcome. Therefore, the sample size was calculated for the incidence of mortality among SNCU admissions. With an estimated enrollment of 3,000 neonates in the preintervention period and 10,000 neonates during the intervention period, the study had 90% power to detect an absolute reduction of 2% in mortality (from 10% to 8%) with a 2-sided alpha of 0.05.P value of less than .05 was considered statistically significant and no adjustment was made for multiple comparisons.Study nurses prospectively collected data from the bedside clinical records and entered it into a custom-built Android application. We then analyzed the data using Stata 16.1. Categorical data are presented as numbers and percentages. Normally distributed numerical data are presented as mean and standard deviation, and skewed numerical data are presented as median with interquartile range. We used a mixed-effects regression model to estimate the effect of the intervention, with SNCU site as random effects and other covariates as fixed effects. The covariates included in the model were based on biological plausibility and significant differences between the preintervention and intervention periods. We conducted a post-hoc secondary analysis to account for the possible effect of a secular trend in the preintervention and intervention periods. For this, we aggregated the data for each month and then analyzed the data using the interrupted time-series regression method which separates the effect of intervention from the preintervention trend. A Supplement, Table S1 and Table S3). All the doctors and >90% of nurses in the study SNCUs received training over the period of intervention. All the learning modules were covered over the 5 in-person sessions and the continuous online training and mentoring. The flow of online modules on the web portal ensured that the participants were able to proceed to the subsequent module only after successfully completing the knowledge assessment of the current module. The skill check activities were directly observed. Due to the midway change in the mentoring medical college, preintervention data were not available from the SNCU in Bhopal and so data from this site were not included in our primary analysis. Throughout the study, the 3 SNCUs were mentored by investigators from outside the state of Madhya Pradesh.Over the study period, a total of 5 in-person sessions were held and 156 HCWs were trained. A total of 16 QI projects were completed at the 3 study SNCUs of the district hospitals and 1 SNCU of a medical college . Antenatal care was almost universal, with 87% of mothers having had at least 3 antenatal check-ups and 11.2% having had cesarean delivery. A high proportion (43.6%) of neonates were preterm (<37 weeks of gestation). Over the study period, the profile of enrolled neonates remained similar , althougA total of 343 (10.2%) neonates died during the preintervention period and 1,106 (10.6%) during the intervention period . As gravely sick neonates may be referred for tertiary care or taken home by parents for compassionate care, we also calculated the rate of adverse outcomes including death, referral to a higher center, or left the hospital against medical advice. No difference was observed in the incidence of adverse outcomes .P<.01), and very preterm gestation. The duration of oxygen therapy also decreased .Several health care practices improved during the intervention period . These iecreased . A signiecreased . The proThe use of many interventions, including oxygen and antibiotics, declined, indicating overuse in the preintervention period.Supplement, Figures S1 and S3). The trend-adjusted analysis showed no significant change in other health care practices, death, or adverse outcomes .The interrupted time-series analysis adjusting for the preintervention trend showed a significant reduction of 2.2% per intervention month in the proportion of neonates who were started on oxygen at admission and a significant reduction of 5.1% per intervention month in the proportion of neonates who received antibiotics . An additional challenge was the state government practice of measuring performance evaluation of the SNCUs by the number of admissions and use of various medical interventions. In our formative evaluation, this was associated with unnecessary admissions, delayed discharge, and overuse of medical interventions. During the intervention period, the SNCU teams identified and ran QI cycles to address these issues. Combined with the PHCP to improve the knowledge and skills of HCWs in managing sick and preterm neonates, the QI cycles successfully reduced the use of oxygen, antibiotics, and phototherapy while enteral feeds were initiated earlier resulting in a shorter time to reach full enteral feeds. Significant reduction in the use of 2 lifesaving but double-edged interventions like oxygen and antibiotics without a concomitant increase in the incidence of death or referral to a higher center supports our preintervention assessment of overuse. Alternatively, the profile of admitted infants may have changed over time, resulting in a lower use of oxygen and antibiotics. However, this alternate explanation is refuted by the similarity of baseline variables and significant effect size obtained even after adjusting for biologically plausible prognostic factors. Rather, the case mix in the intervention period had a higher proportion of preterm and male neonates and lower use of antenatal steroids, all of which are risk factors for increased sickness and mortality.,We evaluated the efficacy of a novel package of interventions in improving the health care practices and outcomes in district level-2 neonatal care units. We observed significant improvement in the health care provided to sick or preterm neonates at admission and during the hospital stay. However, we did not observe any improvement in neonatal survival. Our study intervention was based on the assumption that unexplained variation in the care provided to neonates admitted to the SNCUs is related to the quality of care. During the baseline period of observations, we found that many health care interventions were often being used without clear indications. These included administration of oxygen, intravenous fluids, antibiotics, and phototherapy. The root causes of injudicious use of these interventions were lack of standard operating procedures and fear of adverse outcomes in absence of use , it is not able to address the gaps in the structure of the health system .The study has certain limitations. The first major limitation is that due to the lack of consistent availability of ophthalmologists at the district hospitals, only a subset of eligible preterm neonates could be screened for the development of ROP. Therefore, the study was not able to report any change in the incidence of severe ROP, a component of the composite primary outcome of the study. Second, being an uncontrolled study, the role of secular trends and external influences cannot be ruled out. We used an interrupted time-series regression analysis to control for the preintervention trend. Although this reduced the number of practices that were found to have improved significantly, this can be explained by reduced power as aggregated data were used in the analysis instead of individual patient data. Third, working on 1 QI project could have led to improvement in another clinical domain and the confounding effect of QI projects on each other cannot be removed. However, the QI teams at each SNCU worked on only 1 QI project at a time and only after completing the project took up the next QI project using the new baseline level of performance at that time. Fourth, the QI activities in the study focused only on the health care processes within the SNCUs. Obstetric practices, resuscitation, and, if outborn, care during transport, have a major influence on neonatal mortality and morbidity. This limitation may be a major reason for the study intervention not resulting in improved neonatal survival. Fifth, the study did not formally evaluate the sustainability of the effects of the intervention package. It is possible that the withdrawal of the external collaborators could result in reverting to previous health care practices. Lastly, we have not evaluated the cost-effectiveness of the intervention.Focusing only on health care processes within the SNCUs may be a major reason that the study intervention did not result in improved neonatal survival.An intervention package based on a situational analysis, consisting of a novel combined training and problem-solving approach and driven by HCWs, was able to significantly improve neonatal health care practices and reduce the injudicious use of many potentially harmful therapies. Future studies should target QI efforts at the full continuum of fetal-neonatal care including childbirth, resuscitation, transport, and postdischarge follow-up.Authors in the Retinopathy of Prematurity-Quality Improvement India Study Group: All India Institute of Medical Sciences, New Delhi, India, Department of Pediatrics: Ashok K. Deorari and Anu Thukral; Postgraduate Institute of Medical Education and Research, Chandigarh, India, Department of Pediatrics: Praveen Kumar, Sourabh Dutta, Sundaram Venkataseshan, and Shiv Sajan Saini; Postgraduate Institute of Medical Education and Research, Chandigarh, India, Department of Ophthalmology: Mangat Dogra and Deeksha Katoch; Government Medical College and Hospital, Chandigarh, India, Department of Neonatology: Deepak Chawla, Suksham Jain, and Meenakshi Sharma; Government Medical College and Hospital, Chandigarh, India, Department of Ophthalmology: Subina Narang; Indian Institute of Public Health, Hyderabad, India: Rajan Shukla, G.V.S. Murthy, Snigdha Das, and Ammaji Ch; National Health Mission, Bhopal, India: Rajashree Bajaj and Manish Singh; and London School Hygiene & Tropical Medicine, London, United Kingdom, Department of Clinical Research: Clare Gilbert, International Centre for Eye Health."}
+{"text": "Among various regenerative cues, including chemical, biological, optical, magnetic and mechanical factors, the implementation of advanced pharmacological approaches, electrical and mechanical stimuli have long been underestimated in regard to their potential for the development and improvement of bioengineered and biological tissues, such as the bone, cartilage, muscle, heart, and nerve.The primary mission of tissue engineering and regenerative medicine (TERM) is to mimic the architectural and functional nature of impaired tissues . TERM hain vitro studies. Long-term evaluation on the reparative potential of mechanically and electrically conductive biomaterials is the key to identifying a translational approach to advance the field of mechano- and electro-active tissue regeneration therapies.Mechanical and electrical activities play a crucial role in a series of physiological phenomena in the living body and are important for the functionality of mechano- and electro-active tissues, such as bone, cartilage, muscle, heart, brain, spinal cord, and peripheral nerve. Therefore, it is vital to focus on the application of conductive scaffolds and their regulation on endogenous electrical activities in the process of tissue regeneration, with or without exogenous mechanical and electrical stimuli of different paradigms . Positive outcomes have been reported in previous literature, but it is poorly understood how electrical phenomena affect cell physiological function-behavior, metabolism, signaling transduction, and gene expression, or how the combination of engineered conductive scaffolds with the specific delivery of therapeutic drugs boosts the regenerative capacity of tissues. For instance, the inter-cellular communication between neurons or glial cells influenced by electrically conductive scaffolds is not well elucidated in nerve tissue engineering. Some preliminary findings were obtained from In this Research Topic, we have covered the latest advances in the modulation of electrophysiological activities of cells, tissues, and organs by conductive biomaterials and their regenerative signaling mechanisms. This has ultimately led to a comprehensive display of papers .Liu et al. stressed the involvement of osteoclasts and osteoblasts in the activation of various mechanical transduction pathways and discussed changes in the differentiation, formation, and functional mechanisms under multiple forms of mechanical stress to bone tissues. Mei et al. designed a mesoporous bioactive glass biomimetic scaffold to enhance cellular adhesion and to improve osteogenic/cementogenic differentiation in human periodontal ligament cells.Some papers focused on physiological and metabolic response of excitable and non-excitable cells and tissues on electrically active substrates under mechanical and electrical stimuli in normal and tissue injury environments. Wang F et al. proposed a conductive adhesive and anti-bacterial Zwitterionic hydrogel dressing to repair full-thickness skin wounds. In their study, modulation of electrical paradigms facilitated intercellular communication and transcriptional signaling, mechanical stimulation for angiogenesis and skin development and function supported by conductive scaffolds. Tian Y et al. claimed pro-healing effects of mechanically conductive tissue engineering strategy with bardoxolone methyl on nucleus pulposus cells and tissues by inhibiting extracellular matrix (ECM) catabolism and promoting ECM anabolism. In addition to traditional electrical stimuli, in vitro and in vivo evaluation of wound healing and tissue regeneration technologies of combined electrical stimulation and smart materials also yielded some promising results, including novel electroactive scaffold design and user-friendly application .Jiang Y et al. reported the Netrin-1 modified adipose-derived stem cells and the combined application of such in vitro and in vivo tissue engineering strategies to accelerate or improve the development and function of bioengineered endovascular tissues. In addition, there are some research papers concerning novel biomaterial design, fabrication and application for mechanobiology/electrobiology and interfacial characterization of these biomedical materials in bone and nerve regeneration .The improvement in tissue regeneration, either in functionality or morphology, largely depends on the increasing knowledge of the properties of mechano- and electro conductive tissues and organs. The purpose of physical stimulation is generally to simulate the nature of the living tissue and organ itself. For instance, microenvironmental remodeling in nerve repair is essential and influenced by the spatial and temporal changes after nerve injury. This also greatly affects the scaffold design and physiochemical factors of the nano- and micro-scale biomaterials . The rec"}
+{"text": "In contemporary context the difficulties of making sense of social ambiguity becomes one of the most important appeals for seeking the psychological help. This grounds the importance of studying the mechanism underlying the quality of mentalization and its individual variations.The objective of the study was to find empirical relations between the quality of mentalization and its cognitive, emotional and expressive mediating factors.(1) The Adult Attachment Interview, scored using Social Cognition and Object Relations-Global rating method for mentalization ability. (2) Group embedded figures test. (3) New Tolerance-Intolerance to ambiguity and (4) Toronto alexithymia scale questionnaires. Twenty participants, aged 18-38, looking for psychological consultation, took part in the study.Correlation analysis suggests positive relation between field-independency and tolerance to ambiguity . The complexity of representations of the mind positively correlates with the understanding of social causality . The affective quality of relationships\u2019 representations positively correlates with the ability to emotionally invest into relationships , and with the understanding of social causality . The ability of emotional investment into relationships also positively correlates with the understanding of social causality . There is a negative link between the severity of alexithymia and the presence of long-term relationships with a partner .Mentalization should be understood as a system, with underplaying cognitive, expressive and emotional factors.No significant relationships."}
+{"text": "The sudden changes in daily routine due to the containment measures adopted for facing the COVID-19 pandemic have had an impact on the mental health of the general population. In particular, young adults are exposed to a higher risk compared to the general population to suffer from the consequences of the pandemic, in terms of anger and irritability, depressive symptoms and somatic complaints, insomnia, lack of motivation and loneliness. In particular, loneliness can be particularly pronounced during young adulthood.This study aimed to describe the levels of loneliness in a sample of Italian young people during the national lockdown in 2020, evaluating clinical and socio-demographic differences and the role of coping strategies and levels of resilience.A sub-analysis of a sample of adults aged 18-34 years has been drawn on a larger cross-sectional observational national trial in which, among other psychopathological dimensions, the levels of loneliness have been assessed by the UCLA scale short version.Levels of loneliness were particularly severe in a third of cases , in association with depression, anxiety, stress, OCD symptoms, higher rates of suicidal ideation, sleep disturbance and excessive use of Internet. Levels of loneliness tended to increase over time.Overall, during the Italian COVID-19 lockdown young people have experienced quite high levels of loneliness: this dimension could represent a useful domain to assess in routine clinical practice.No significant relationships."}
+{"text": "Cannabidiol (CBD) has been gaining increased attention in contemporary society but seems to have been little explored in dentistry. This scoping review mapped the scientific and technological scenarios related to the use of CBD in dentistry. Peer-reviewed publications were searched in five international databases, patents were searched in five technological platforms. In total, 11 articles and 13 patents involving CBD in dentistry-related applications were included. The countries contributing to most articles were Brazil (27.3%) and USA (18.2%). The studies involved experiments on animals (63.6%) and/or using bacteria or cells (36.4%), and no clinical study was found. Three different applications of CBD were observed: periodontal therapy (45.4%), aid for bone regeneration (27.3%), and general use in oral therapies (27.3%). Patent inventors were based in China (53.8%) or USA (46.2%). The patent claims were mainly compositions for oral care, tooth whitening, injury repair, antifungal, anti-inflammatory, and analgesic effects. A total of 76.9% of the patents were filed in association with a company. In general, research suggests that CBD has promising biological properties for applications in dentistry, whereas patents indicate that the current interest of industry relies on compositions for oral care. There appears to be extensive room available for research and technological applications of CBD in dentistry. Endocannabinoids are naturally occurring molecules in mammals produced in the endocannabinoid system ,2, whichCannabidiol (CBD) is a compound without psychoactive activity derived from Cannabis sativa plant . CBD hasIncreasing research and development of CBD and its medical applications have been undertaken due to financial support by various private and governmental organizations in the past years. The global CBD market is expected to reach approximately USD 30 billion by 2025 . CBD hashttps://osf.io/yk65c/ (accessed on 10 October 2022). For the mapping, the following parameters were selected: (i) Population\u2014articles and technological products; (ii) intervention\u2014use of CBD or its synthetic analogs; (iii) comparison: other substances or treatments that may have been tested (if applicable); (iv) dental and oral medicine applications, (v): articles or patents. One general question guided the review: What scientific applications and technological products based on CBD or its synthetic analogs are being used in dentistry at present?This scoping review has been reported according to the Preferred Reporting Items for Systematic Reviews and Meta-Analysis Extension for Scoping Reviews guideline . The stuThe inclusion criteria consisted of in vitro or in vivo studies and patents that have evaluated or reported the use of CBD for dental applications or subjects . Studies that evaluated the use of CBD alone or associated with other substances or biomaterials in dentistry were included. In addition, studies that evaluated other synthetic analogs were also included. The search was restricted to documents published in English without restriction on date. Case reports, case series, pilot studies, opinion articles, letters, and conference abstracts were excluded due to the high risk of bias associated to these articles. Reviews were excluded to concentrate the analysis to original articles. Studies on the use or smoke of cannabis plants and other cannabinoids also were excluded. Patents including CBD were excluded when its application or scope of patents was not related to dentistry or oral medicine.The searches in literature databases were performed by two independent reviewers (CD and AE-H) and patent tools (CD and AB), with no starting date and continuing through to December 2021. The research for articles was carried out in five international databases: PubMed/MEDLINE, Scopus, Web of Science, Embase, and Cochrane Library. The search strategy was based on the MeSH terms of PubMed and the specific terms of the other databases, using the search strategies presented in All records identified were imported into the EndNote program . The independent researchers identified articles and patents by first analyzing titles and abstracts for relevance and eligibility criteria using the online system Rayyan QCRI . Retrieved records were classified as included, excluded, or uncertain. Full-text versions of the included and uncertain records were selected for further eligibility screening. Discrepancies in a screening of titles/abstracts and full texts were resolved by discussion. In case of disagreement, the opinion of a third reviewer (RRM) was sought.We created two spreadsheets in the Microsoft Office Excel 2013 software for data extraction from articles and patents. The spreadsheets were pilot tested by three reviewers to reach a consensus on which data to collect and how. Two independent reviewers extracted the main relevant data, specifically focusing on the outcomes in dentistry, and influence of CBD on the dental applications. The following items of data were collected for articles: year, first author, journal, study design, country of the corresponding author, CBD dosage, route of administration, CBD presentation, manufacturers, applications , and sponsors of the studies. From patents, the following data were collected: patent numbers, year, title, inventors, country of inventors, main claims, and company. The mapping of research findings and patents was carried out considering the application of CBD in different dental subjects.A total of 2312 unique articles and 989 patents were identified with 229Characteristics of the 11 original studies included are presented in Characteristics of the 13 patents included are shown in The main applications of CBD and its synthetic analogs in dentistry are illustrated in The anti-inflammatory properties of CBD also made it a suitable alternative for the prevention and treatment of oral mucositis, by reducing the inflammatory process and the severity of lesions ,19. CBD This scoping review mapped the available literature and patents on the use of CBD for dentistry-related applications. Most of the peer-reviewed literature suggested that the positive effects of CBD could be attributed to its anti-inflammatory, analgesic, antimicrobial, biological, and osteoinductive properties. The patents also seemed to rely on these properties to offer technological applications of CBD in dentistry. The dental subjects mainly involved in the literature and patents reviewed were periodontology, oral medicine, and oral surgery. These subjects, the potential technological applications of CBD, and future research challenges on the topic are discussed as follows.CBD has anti-inflammatory properties and was shown to be capable of reducing alveolar bone loss in induced periodontitis ,25. PharThese anti-inflammatory and analgesic properties of CBD have been reported to be dose-responsive, without ideal doses having been established for a possible antioxidant and anti-inflammatory action ,21,26. TIn an in vivo study , the synPorphyromonas gingivalis and Filifactor alocis, which are key components of subgingival microbiota [CBD showed effective antimicrobial properties in the reduction of colonies of bacterial strains against oral bacteria and two biofilms . High docrobiota . Dental crobiota . Howevercrobiota .CBD has shown favorable biological and osteoinductive properties. When used alone or in combination with other substances, CBD was sufficiently effective and reliable to produce cell migration and bone differentiation ,7,26 andIn line with the recent literature on the use of CBD in dentistry, our findings also revealed an increasing interest in technology and appropriation relative to dental applications of CBD in recent years. Despite the increasing progress in filing these patents, only one patent dating bA number of limitations relative to research and technological applications of CBD in dentistry can be cited. One limitation is the absence of clear regulations governing the supervision of the quality of CBD , which cStudying of the behavior, dosage, and mechanisms of action of CDB used in dentistry-related clinical conditions;Acceptability of CBD-based treatments among dental patients;Standardization of the methods used for extraction of CBD and standardization of in vitro and in vivo tests with this compound ;Evaluation of the cytocompatibility of CBD in order to develop safe products;More basic studies are needed to increase safety of CBD for use in dental patients;Since CBD has been approved for use in patients in many countries, clinical studies with patients are also needed in dentistry, which means that the available evidence is of low quality, low certainty, and prone to risk of bias.The scientific articles reviewed indicated challenges to the current clinical use of CBD in dentistry and a potentially extensive field for research and products using CBD and its synthetic analogs, including:Cannabidiol has been gaining increasing attention in contemporary science and society but seems to have been little explored in dentistry-related research and patents to date. Dental research evidence suggests that CBD has anti-inflammatory, analgesic, antimicrobial, biological, and osteoinductive properties for potential periodontal, oral surgery, and oral medicine applications. Patents available indicate that at present, the interest of industry relies on compositions for oral care products including toothpaste, mouthwash, and dental floss. There appears to be extensive room available for research and technological applications of CBD in dentistry, especially as far as the lack of clinical trials is concerned."}
+{"text": "Dear editor,Melkersson-Rosenthal syndrome (MRS)/orofacial granulomatosis is characterized by the triad of recurrent orofacial edema, recurrent peripheral facial palsy, and fissured tongue.The cause of MRS is unknown. The authors of the present study demonstrated an increase in the expression of HLA A*02, HLA DRB1*11 to HLA DQB1*03 and a decrease in the levels of HLA A*01, HLA DRB1*04, HLA DRB1*07, and HLADQB1*02 in patients with MRS when compared to the control group, indicating genes that may predispose to or protect against the disease.The histopathological findings of MRS include non-caseating granulomas similar to CD, which may suggest that MRS and CD might be part of the same clinicopathological spectrum.4The present report describes seven cases of MRS in children and adolescents, drawing attention to a possible association with CD.The analyzed data from the cases diagnosed with granulomatous cheilitis/MRS/orofacial granulomatosis were: sex, age, lesion location, neurological impairment, and colonoscopy exams . The diaThis sample represents the largest case series of children with MRS in Latin America.There was a predominance of male patients; the only female patient noticed symptoms at age 15. The cases reviewed by Savasta et al. showed a prevalence of female patients.Only patient 6 reported a previous bout of facial palsy, having also had an episode observed by the authors. Facial palsy affected 61/116 (52.6%) of the previously reported pediatric cases.Cases 4, 5, 6 and 7 had fissured tongue; cases 4 and 6 had geographic tongue and FUNADERSP \u2012 (29/2016).Camila F\u00e1tima Biancardi Gavioli: Statistical analysis; approval of the final version of the manuscript; design and planning of the study; drafting and editing of the manuscript; collection, analysis, and interpretation of data; effective participation in research orientation; intellectual participation in the propaedeutic and/or therapeutic conduct of the studied cases; critical review of the literature; critical review of the manuscript.Yasmin da Silva Amorim City: Statistical analysis; approval of the final version of the manuscript; drafting and editing of the manuscript; collection, analysis, and interpretation of data; effective participation in research orientation; critical review of the literature.Giovanna Piacenza Florezi: Design and planning of the study; collection, analysis, and interpretation of data; intellectual participation in the propaedeutic and/or therapeutic conduct of the studied cases; critical review of the literature.Silvia Vanessa Louren\u00e7o: Statistical analysis; approval of the final version of the manuscript; design and planning of the study; drafting and editing of the manuscript; collection, analysis, and interpretation of data; effective participation in research orientation; intellectual participation in the propaedeutic and/or therapeutic conduct of the studied cases; critical review of the literature; critical review of the manuscript.Marcello Menta Simonsen Nico: Statistical analysis; approval of the final version of the manuscript; design and planning of the study; drafting and editing of the manuscript; collection, analysis, and interpretation of data; effective participation in research orientation; intellectual participation in the propaedeutic and/or therapeutic conduct of the studied cases; critical review of the literature; critical review of the manuscript.None declared."}
+{"text": "Plant-derived antioxidants are a large group of chemical compounds that include the secondary metabolites of plants and the substances formed in food during processing . These compounds are widely distributed in fruits and vegetables, as well as their derived products. Natural antioxidants have been gaining increasing interest, mainly due to the association between their consumption and the prevention of cardiovascular disease, cancer, neurodegenerative disorders, diabetes, and some other illnesses. Many research studies on plant-derived antioxidants have shown that these compounds exhibit a wide range of biological effects, including anti-aging, anti-inflammatory, anti-atherosclerotic, and anti-cancer. The bioavailability and bioefficacy of plant-derived antioxidants, including polyphenols, carotenoids, and tocopherols, are dependent on their molecular structure, food matrix, the occurrence of other substances, and their digestion pathways. Recent evidence suggests that the pharmacokinetics and metabolism of bioactive compounds are crucial to understanding their role and function in human health. However, the exact mechanisms of action, effects, and bioavailability of plant antioxidants are still not fully recognized.This Special Issue consists of 18 articles focusing on the field of fortified and functional foods, the impact of technological processes on the content and transformation of bioactive components and the antioxidant activity of food, as well as in vitro and in vivo studies of the bioavailability, bioaccessibility, and bioactivity of plant-derived antioxidants, and explaining the effect of metabolism and pharmacokinetics on the efficacy of plant antioxidants and other potentially health-promoting mechanisms.Lactobacillus casei, and pork sausages [The scientific literature provides many examples of the use of plant raw materials rich in antioxidants and by-products of their processing to obtain fortified or functional foods, especially products that are poor in antioxidants in traditional formulations. A rich source of many active substances with health-promoting properties is sea buckthorn. Among them, antioxidants, phytosterols, essential fatty acids, amino acids, and vitamins C, K, and E should be mentioned. Sea buckthorn shows antimicrobial and antiviral properties and is a potential nutraceutical or cosmeceutical. Moreover, it has been proven to help treat cardiovascular diseases, cancer, and diabetes, as well as gastrointestinal and skin problems. Sea buckthorn is the most often used in the production of foods such as juices, jams, wines, pies, and liquors. There are also known examples of the addition of this fruit or its preparations for the enrichment of frozen yoghurt, soy drinks fermented by sausages . Anothersausages determinsausages . Waste osausages used appsausages .Polyphenolic extracts, which could be used as functional food ingredients and whose qualitative\u2013quantitative composition and properties depend on the extractant used, can be obtained from grape pomace. A study by Caponio et al. showed tBrassica oleracea var. gongylodes) were used as research material. The study indicated that UVB irradiation could induce an overall alteration in metabolite composition. Increased levels of secondary metabolites, such as anthocyanins and phenolic acids and ABTS free radical scavenging ability were observed during UVB irradiation [The cultivation conditions and the type and parameters of the production processes used affect the chemical composition and properties of raw materials as well as semi-finished and finished products. Research into the effect of UVB radiation on changes in the composition of primary and secondary metabolites in plants was conducted by Yeo et al. . Purple adiation .Thermal processes can cause changes in the chemical composition, structure of compounds, and the bioactive properties of food. For example, roasting affects the qualitative and quantitative composition of polyphenols, the formation of Maillard reaction products and, consequently, the antioxidant potential of carob kibbles . ThermalO-glucoside (C3G) showed a low bioavailability of this compound and confirmed its significant instability under intestinal conditions [O-glucoside binds in the vicinity of the catalytic site of \u03b1-amylase and lipase. In contrast, in the case of \u03b1-glucosidase and lipoxygenase, no direct contact with catalytic amino acids was found. However, further research involving biological assays is needed to confirm the possibility of using this extract as a natural agent to treat and reduce the incidence of MS [The bioavailability, bioaccessibility, and bioactivity and, consequently, pro-health potency of plant bioactive compounds depend on their molecular mass, chemical structures, concentration in food, as well as food matrix and digestion pathways. Studies provided by Fraisse\u2019s team using a simulated gastrointestinal tract model on the bioavailability of cyanidin-3-nditions . The decnditions . Other hnditions . The anace of MS .Humulus lupulus L.), their bioavailability and their biological activity. It reports the most important results obtained so far in the primary and secondary prevention of several non-communicable diseases, such as cancer and MS, understood as a cluster of risk factors for diabetes mellitus and cardiovascular diseases in the presence of central obesity [A review article authored by Zugravu et al. describe obesity .Triticum spelta L. cv. Ostro), the highest relative bioavailability of p-coumaric acid and trans-ferulic acid showed seeds subjected to enzymatic treatment and then fermentation. These processes also allowed for the improvement of the antioxidant activity of the tested material [Talaromyces amestolkiae [The bioavailability of phenolic compounds contained in food matrices can be enhanced by the prior application of various bioprocessing techniques. In the case of spelt seeds -epicatechin and only in stem bark extract: (+)-catechin) and nine phenolic acids were identified in the extracts). All of the tested extracts showed antioxidant and DNA-protective potential, most visible in the case of extracts from flower parts and leaves [Andonova et al. conducted leaves .Carotenoids are colored compounds with lipophilic properties and poor solubility during digestion, resulting in low and variable bioavailability. On the other hand, they are characterized by high antioxidant activity affecting several health benefits. The effect of frequently consumed proteins , gelatin, GEL; turkey and cod) on carotenoid bioavailability and cellular uptake was studied. The food content after joint digestion in the gastrointestinal tract of these proteins with food matrices rich in carotenoids (tomato and carrot juice and spinach) was studied in Caco-2 cell models. The matrices containing higher amounts of non-polar carotenes after protein addition were characterized by better fractional bioavailability during simulated digestion in the gastrointestinal tract than analogous systems of matrices rich in more polar xanthophylls. The digestion of matrices in the presence of protein promoted the cellular uptake of carotenes and counteracted the negative effect of proteins on the bioaccessibility of xanthophylls by improving the cellular uptake of lutein + zeaxanthin (up to 12%), especially in the presence of WPI and SC proteins .n = 16) conducted by \u00c1vila-G\u00e1lvez [Flavanones are consumed in our diet almost exclusively with citrus fruits and, to a lesser extent, with some herbs or tomatoes. Hesperidin is the main flavanone present in oranges, and eriocitrin in lemons. The available scientific evidence shows that the intake of flavonoid-rich citrus fruits is associated with a lower risk of stroke and the occurrence of certain types of cancer. However, the low solubility of hesperidin hinders its bioavailability. A randomized human crossover pharmacokinetic study n = conducteThe LC-ESI-LTQ-Orbitrap-MS was used to study the distribution of oleaceins (OLEA), oleocanthalu (OLC), and their metabolite derivatives in rat plasma and organs/tissues after the acute intake of refined olive oil. Unmetabolized OLEA was detected in the stomach, small intestine, liver, plasma and, above all, in the heart. OLEA metabolites, in turn, were mostly distributed in the liver, heart, spleen and lungs. OLC was detected only in gastrointestinal samples, while its metabolites were widely distributed in rat tissues, with the small intestine and liver being the most important metabolizing organs. The obtained results may partially explain the mechanism of the beneficial effect of extra virgin olive oil consumption. However, further detailed pharmacodynamic studies are needed to link the ingested concentrations of OLEA and OLC and the composition of their metabolites with the frequency of the intake and the effect on the human body ,18."}
+{"text": "Background: The impacts of health inequities on healthcare access, utilization, and outcomes have been highlighted by the COVID-19 pandemic, but these issues have been ongoing, yet understudied, in infectious disease epidemiology. Health inequities affect access to care, quality of care, and health outcomes in all healthcare settings. One healthcare setting that has yet to be fully studied in the context of health inequities is nursing homes. Nursing homes have a host of facility and population-specific issues that differ from other healthcare settings, making the impacts of health inequities likely unique and imperative to understand. The impacts of health inequities on nursing homes are unclear, and they likely have downstream effects on trends in morbidity, mortality, and transmission of multidrug-resistant organisms (MDROs) and other pathogens. Method: Here, we present a descriptive analysis, integrating multiple datasets relating to nursing home facility factors (data from the CMS Provider of Services and the CDC NHSN), nursing-home staffing trends , and social vulnerability . We conducted a spatial analysis of nursing-home locations and the social vulnerability of the area. Results: Investigations of facilities and health inequities are best conducted in small spatial geographies. Analyses with less detailed spatial geographies miss high levels of heterogeneity in social vulnerability. Figure Conclusions: These findings highlight that health inequities affect the quality and quantity of care of in nursing homes and that research conducted at larger geographical scales may overlook important mechanistic factors. This work will inform epidemiological models for disease transmission in nursing homes, accounting for the impacts of health inequities on transmission. Abating health inequities in all healthcare settings is a necessity to improve public health for the entire United States.Funding: NoneDisclosures: None"}
+{"text": "Lipids are crucial components of cellular function owing to their role in membrane formation, intercellular signaling, energy storage, and homeostasis maintenance. In the brain, lipid dysregulations have been associated with the etiology and progression of neurodegeneration and other neurological pathologies. Hence, brain lipids are emerging as important potential targets for the early diagnosis and prognosis of neurological diseases. This review aims to highlight the significance and usefulness of lipidomics in diagnosing and treating brain diseases. We explored lipid alterations associated with brain diseases, paying attention to organ-specific characteristics and the functions of brain lipids. As the recent advances in brain lipidomics would have been impossible without advances in analytical techniques, we provide up-to-date information on mass spectrometric approaches and integrative analysis with other omic approaches. Last, we present the potential applications of lipidomics combined with artificial intelligence techniques and interdisciplinary collaborative research for treating brain diseases with clinical heterogeneities. This review article explores lipid alterations in brain diseases and provides insight for future brain lipidomic research. With an increase in the aging population worldwide, brain diseases such as neurodegenerative diseases, psychiatric diseases, and brain tumors are being increasingly recognized as leading causes of morbidity and death . NoBrain cholesterol accounts for 25% of the total cholesterol found throughout the body. Cholesterols, which are mostly generated from astrocytes, are transferred to neurons through the formation of cholesterol-rich lipoproteins, including apolipoprotein E (APOE) (fig. S1) (N-acetyl-\u03b1-neuraminidase 3 (Neu3) and phospholipase D (PLD) , a neuronal protein that affects the regulation of synaptic vesicles and neurotransmitter release, the subsequent production of Lewy bodies , and the loss of dopaminergic neurons (HTT) gene is a well-known cause of HD is an inherited progressive brain disease characterized by abnormal motor functions (chorea and dystonia), psychiatric complications (anxiety and depression), and cognitive functions (dementia) spectrometry, fluorescence assay, and MS and software tools have been developed for monitoring large-scale datasets, for performing the compositional and structural profiling of numerous lipids, and for analysis of their molecular networks . LIPID MAll these developments in MS-based analytical platforms and software tools for data interpretation have led to the availability of increasing reference data for lipidomic research, thereby facilitating large-scale studies. In recent years, these analytical tools and DBs have been used for brain lipidomics. However, many brain lipids are still unknown, increasing the need for their global and in-depth characterization.Brain diseases, such as neurodegenerative diseases and psychiatric diseases, commonly exhibit molecular and clinical heterogeneities, which makes the development of diagnosis and treatment strategies quite difficult. Multi-omics is a powerful and useful approach to unravel the molecular mechanisms of diseases gene GBA (one of the genetic risk factors for PD), and lipid substrates of GCase, such as glucosylceramides, ceramides, and sphingosines, is explored using the CSF of patients with or without gene mutations . IThe fundamental agenda in brain research involves understanding the structural and functional characteristics of molecular organization in the brain, starting from the genes to the whole organ, and the development of treatment approaches for brain diseases and psychiatric diseases. To achieve this goal, the use of human resources is inevitable because animal models used often demonstrate limitations in reflecting the physiological state of humans owing to the differences in the genotype and life cycle. In addition, interdisciplinary collaborative research between different fields such as neuroscience, mathematics, physics, computer science, engineering, and medicine is required for the systematic investigation of brain functioning and the practical application of research results . Unlike"}
+{"text": "Building on the importance of family and friends as sources of social connectedness in later years of life, we conducted a contextual examination of their independent and interactive roles in predicting mental health, using a compensatory social convoy model. In a sample of older Korean Americans, we anticipated that friend networks would be a more important predictor of mental distress when strong family relationships were absent. Data were from 2,140 participants in the Study of Older Korean Americans, a multi-state survey of Korean immigrants age 60 and older . To identify family types, latent profile analysis (LPA) was performed with 17 variables assessing family networks, positive and negative interactions with family members, and incidence of mistreatment by family. Linear regression models of mental distress then examined the direct effects of family type and networks of friends, as well as their interactions. LPA on family-related items identified three family types: close-knit, mixed, and dysfunctional. Membership in the close-knit group and a larger network of friends were associated with lower levels of mental distress. In addition, a significant interaction was found between dysfunctional family type and friend network , where the positive effect of friend networks was most pronounced in the context of dysfunctional family relationships. These findings support the use of a compensatory social convoy model. Substituting for family resources, friend networks yielded compensatory mental health protection for those with dysfunctional family relations."}
+{"text": "Approximately 30 years after the publication of the first Sicilian checklist of macrofungi, a new updated version is presented here. The census of macromycetes was carried out through periodic observations in different agricultural and forest ecosystems, in urban areas, in public and private gardens, and in botanical gardens. The 1919 infraspecific taxa included in 508 genera belonging to 152 families were collected in the Sicilian territory. Ectomycorrhizal fungi are the most represented ecological category, followed by saprotrophs on wood, saprotrophs on litter, and terricolous saprotrophs. The interest in this rich group of organisms is evidenced by the nutritional and therapeutic value of a high percentage of species. The actions linked to the National Recovery and Resilience Plan and The Network for the Study of Mycological Diversity will further increase the number of macrofungi for Sicily in the future. The checklists are modern tools for evaluation of fungal diversity and valuable papers to highlight ecological data, and tips for management and exploitation of protected areas, agro- and forest ecosystems. Relevant studies were published around the world\u2014in Europe and in Italy ,5,6,7,8.The assessment of fungal diversity in the Italian regions is still incomplete and needs further investigation. In most Italian regions, it is difficult to document the exact number of mushrooms due to lack of mycologists. Even greater difficulty is faced in the evaluation of the presence of hypogeous macrofungi as few research groups have dogs trained to harvest.The territories included in the Med-Checklist consider the Italian peninsula as a separate region from a floristic point of view, and its two major islands, Sicily and Sardinia, are separately coded . The envOn the basis of literature data reported from 1814 to 1991, a preliminary survey on fungal diversity in Sicily was carried out by Venturella , with anFrom 1991 to present, the study of macromycete diversity has continued unabated through an intensive exploration of forest ecosystems, natural parks, nature reserves, public and private gardens, botanical gardens, cultivated and uncultivated lands.Based on data collected during 30 years of long-term observation, an up-to-date assessment of fungal diversity of Sicily is reported in this paper.The physiographic uniqueness of Sicily coupled with the paleogeographic vicissitudes, over time have determined the progressive evolution of a rich vascular flora (ca. 3000 species) and the presence of a number of rare species or in any case of considerable taxonomic significance . In agreQuercus ilex L. subsp. ilex, Q. coccifera L., and Q. suber L. as well as semi-evergreen oaks Quercus pubescens Willd. s.l. and Q. virgiliana (Ten.) Ten. In the warmer areas near the sea, forests can be replaced by aspects of Mediterranean maquis such as those characterized by Juniperus turbinata Guss., J. oxycedrus L. subsp. oxycedrus, J. macrocarpa Sm., Pistacia lentiscus L. and other sclerophyllous shrubs such as Cistus creticus L., C. salvifolius L. and C. monspeliensis L.The forest area of Sicily corresponds to 512,121 hectares and includes 58 types of forest vegetation . The coaAmpelodesmos mauritanicus (Poir.) T. Durand & Schinz and other types of grassland and shrub communities. Even rarer are the natural forests of Mediterranean conifers such as Pinus halepensis Mill., P. pinea L. and P. pinaster Aiton, which are considered pioneer plants. In the hills, the natural forest vegetation, in the hottest and driest conditions, consists of mixed forests of deciduous oaks with dominance of Q. pubescens, while in cooler climatic conditions, with a marked oceanic climate, are more diffused Q. cerris L., Q. petraea (Matt.) Liebl and the endemic Q. gussonei (Borz\u00ed) Brullo. These species have in some cases been replaced for agricultural purposes or for the use of wood by Corylus avellana L., Fraxinus ornus L., and Castanea sativa Mill. The degradation aspects are represented by mesophilic shrubs dominated by different taxa belonging to the family of Rosaceae such as Pyrus pyraster. (L.) Burgsd. and P. amygdaliformis Vill. The forest vegetation of the mountain area is characterized by forests of Fagus sylvatica L. sometimes mixed with Acer pseudoplatanus L., Quercus petraea (Mattuschka) Liebl., Taxus baccata L. and llex aquifolium L. An exclusive characteristic of Sicily is the presence of forests of Q. ilex that reach an altitude of 1500 m well above the maximum elevation found in other parts of Italy. Of considerable interest is also the presence of different endemic trees and shrubs and evidence of relict forest vegetation such as Abies nebrodensis (Lojac.) Mattei, Betula aetnensis Raf., Celtis aetnensis (Tornab.) Strobl, Populus tremula L., Pinus laricio Poir., Quercus gussonei (Borz\u00ec) Brullo, Zelkova sicula Di Pasquale, Garfi & Qu\u00e9zel, and Genista aetnensis (Raf. ex Biv.) DC. Upland shrubs such as Sorbus graeca (Spach) Schauer and Berberis aetnensis C. Presl. are found in some areas lacking tree forest vegetation. Woody species that vegetate above the edge of the forest are found only on Mount Etna, but also in the Madonie. This vegetation is dominated by the shrubs of Astragalus nebrodensis on the Madonie and by A. siculum on Mount Etna.In the areas most subject to disturbance, the vegetation is currently represented by Fagus sylvatica L. in Sicily can therefore be considered a remnant of the glaciations, when conditions had to be favorable even at lower altitudes.The presence of Salix pedicellata Desf., S. alba L. and S. purpurea L., associated with Populus nigra L., P. alba L., Laurus nobilis L., Sambucus ebulus L., Cornus sanguinea L., Prunus mahaleb L. and Alnus cordata (Loisel.) Desf. , cupules of Castanea sativa Miller [Lanzia echinophila (Bull.) Korf], and cladodes of Opuntia ficus-indica [Pleurotus opuntiae (Durieu & L\u00e9v.) Sacc.] complete the list.Ectomycorrhizal fungi (637 taxa) are the most represented ecological category , followeFungi are recognized worldwide as fundamental components in every type of ecosystem . After aThe climatic features of Sicily are favorable to the development of basidiomata and ascomata of different fungal species. The observations carried out during the present study showed a constant presence throughout the year of macrofungi in ecosystems. Most species are collected in fall, although the presence of macrofungi appears to be strongly affected in some years by prolonged periods of drought. In the woods of the hinterland, it is possible to have optimal conditions of temperature and humidity able to favor the appearance of macrofungi even in the summer. In Sicily, spring is not a season of abundance for fungal fruiting and ascomycetes predominate among species. In winter and summer, pathogenic basidiomycetes and wood saprotrophs can be predominantly observed.Due to the presence of the three major regional parks in these territories, the largest number of infraspecific taxa is found in the provinces of Palermo, Messina and Catania. In the other provinces, reafforestations are prevalent and thus the composition of fungal coenoses is reduced in quality and quantity.Marasmius bulliardii while it is very common to observe Fistulina hepatica at the base of chestnut trees. In Quercus ilex forests, fungi responsible for wood decay are observed on stumps and trunks. Compared with other oak forests, fewer macrofungi are reported Quercus suber forests and in the maquis. This is due to the greater state of degradation of the forest coenosis due to frequent fires that cause a significant reduction in the number of mycorrhizal species and saprotrophs, the latter negatively affected by the drastic reduction in plant residues. In pastures, grasslands, and garrigues, the number of mycorrhizal species is limited to those of shrubs of the genus Cistus (Lactarius cistophilus and Leccinellum corsicum). Saprotrophs on litter and lignicolous species are widespread in riparian vegetation.The greatest number of species is found within beech forests. The low night temperatures, the summer storms and the presence of occult precipitations determine, starting from the second decade of August, the early appearance of macrofungi that are generally found, at lower altitudes, in autumn within the forest ecosystems. A rich number of lignicolous species, mostly pathogenic and to a lesser extent saprotrophic, has also been surveyed within beech forests, growing on trees, branches of different sizes that have fallen to the ground and stumps. A similar condition of prevalence of mycorrhizal species is found in oak and holly forests and in chestnut groves. In the latter type of forest, an important role in the decomposition of the abundant litter layer is provided by The high percentage of mycorrhizal species within the natural forests and reforestations of Sicily allows to exclude at the moment a decline in forest ecosystems. In some forested areas, frequent fires cause a reduction in mycorrhizal species and saprotrophs on litter due to the drastic reduction in plant residues. Conversely, silvicultural practices and the resulting failure to remove woody debris of different sizes promote the appearance of crusty, shelf-like, or gelatinous lignicolous macrofungi.Pleurotus ssp.) represent a valuable example for the economic enhancement of fungal diversity in Sicily. Of great interest is the presence on the Sicilian territory of rare species classified according to IUCN criteria as Vulnerable (Alessioporus ichnusanus) [Poronia punctata) [Pleurotus nebrodensis) [Grifola frondosa, Ganoderma lucidum, and Ericium erinaceus, with proven pharmacological activities including antibacterial, antifungal, antiviral, cytotoxic, immunomodulating, anti-inflammatory, antioxidative, antiallergic, antidepressive, antihyperlipidemic, antidiabetic, digestive, hepatoprotective, neuroprotective, nephroprotective, osteoprotective, and hypotensive activities.The presence of prized and edible truffles, especially within the holm oak and pine woods, is of relevant interest especially for the areas of the Sicilian hinterland characterized by a depressed economy . These pnusanus) , Least Cunctata) , and Endodensis) . MushrooPleurotus and Tuber species, can provide an important income in agroecosystems, especially in rural or marginal areas.Although the number of fungal species is still in constant flux, Sicily is among the Italian regions with the highest diversity of fungal species, many of which are of potential applicative interest and economic interest. Therefore, it is necessary to raise the level of knowledge and attention on the part of local communities towards this group of organisms. The data reported in this survey strongly increase the knowledge on distribution and ecology of macromycetes in Sicily and may help better valorize such non-timber products. The outcome of the checklist carried out in Sicily could provide the Regional Administration with useful information for the conservation and exploitation of fungi in natural habitats, with particular reference to forest ecosystems. Legislation should limit the level of danger existing for the conservation of fungal diversity and support such strategies with more rigorous limits against wild edible mushroom overharvesting. The cultivation of some prized edible mushrooms, i.e., The National Recovery and Resilience Plan (NRRP) and The Network for the Study of Mycological Diversity (NSMD), recently launched, will contribute to implement the monitoring of mycological biodiversity within national terrestrial habitats.These actions will be carried out with the contribution of institutions such as the Higher Institute for Environmental Protection and Research (ISPRA) of the Italian Ministry of Ecological Transition and the Working Group for Mycology of the Italian Botanical Society through an Open Science initiative."}
+{"text": "Next, the microstructure and properties after the selective laser melting fabricating process which act as an emerging technology compared to conventional manufacturing techniques are also enlightened. Thereafter, the development of multi-scale simulation and machine learning (ML) in material design is illustrated with typical examples and the great concerns in PHSS research are presented, with a focus on the precipitation techniques, effect of composition, and microstructure. Finally, promising directions for future precipitation hardening stainless steel development combined with multi-scale simulation and ML methods are prospected, offering extensive insight into the innovation of novel precipitation hardening stainless steels.Precipitation hardening stainless steels have attracted extensive interest due to their distinguished mechanical properties. However, it is necessary to further uncover the internal quantitative relationship from the traditional standpoint based on the statistical perspective. In this review, we summarize the latest research progress on the relationships among the composition, microstructure, and properties of precipitation hardened stainless steels. First, the influence of general chemical composition and its fluctuation on the microstructure and properties of PHSS are elaborated. Then, the microstructure and properties under a typical heat treatment regime are discussed, including the precipitation of B2-NiAl particles, Cu-rich clusters, Ni Precipitation hardening stainless steel (PHSS) has a long history and is widely employed in aerospace industries, marine environment applications, and nuclear reactor fields due to its ultra-high strength, satisfactory ductility, and excellent anti-corrosion properties ,2,3,4,5.The microstructure and distinguished properties of ultra-high strength stainless steels have been characterized through experimental techniques in the past decades ,9,10. ThVarious martensite variant microstructures with significant anisotropy features were demonstrated based on first principles calculation and phase-field simulation methods, which is in acceptable agreement with experimental results ,25. The In this review, we concentrate on recent progress in the advancement of PHSS, including the ultra-high strength steel not limited to the precipitation hardening steel (PHS) and PHSS, in regard to the modeling of composition-microstructure-properties relationships, especially in the hot working process, as well as the effects of compositions on the microstructure and properties of PHSS steels. Although the PHSS has a relatively long history, we would like to present how to establish a quantitative model of composition-structure-property to quickly discover novel high-performance PHSS. We start by summarizing the composition development and property features of PHSS, the microstructures and properties under representative heat treatments, and then discussing the microstructures and properties of the PHSS prepared by the selective laser melting (SLM) method. Finally, the strategies of alloy design and tailored property optimization of PHSS are prospected. This work is devoted to providing useful insight into the design strategies that are used to develop novel high-performance PHSS, specifically for engineering applications.Many investigations on PHSS have been carried out, and most of them focus on mechanical and corrosion behavior ,30,31,32The first-generation precipitation hardening martensitic stainless steel was designed in the 1840s . PHSS haPHSS is mainly strengthened by the precipitation of various nanoprecipitates during the aging treatment ,48, whicThe alloying elements in ultra-high strength stainless steel are mostly concentrated in transition metallic elements, and the corresponding frequency of alloying elements is displayed in 3Ti phases; Ni acts as a stabilizer of the austenitizing element, which promotes alloys with enhanced properties , a, a150], Generally, the traditional material design method based on trial and error is very cumbersome; therefore, it is urgent to carry out the modeling optimization. In recent years, the multi-scale calculation and simulation methods of materials have been developed rapidly and widely harnessed in the material design and mechanism research of new materials, which provides an efficient way for the development of new PHSS. The obtained FDM is determined through a numerical strategy. Physical characteristics of fluid flow, temperature, entropy optimization, and concentration have been illustrated. Variations of parameters are graphically investigated . The micAs shown in There are many types of alloying elements, and the additional content of alloying elements as well as the interaction between various elements would increase the complexity of the experiment. The traditional trial and error approaches are simple in facing the dilemma of low efficiency. C.E. Campbell et al. establisWith the vigorous development of computational science, it is a new trend to examine the influence of alloying elements on the properties of materials by leveraging algorithms to model rationally. Additionally, common ML algorithms were adopted to investigate the intrinsic relations of materials especially in steels, including random forest (RF), linear regression (LR), support vector regression (SVR), multi-layer perceptron (MLP), convolutional neural network (CNN), and K-nearest neighbor (KNN) ,185,186.3Ti nanoprecipitates coupled with thermodynamic calculations and PM theories [Physical metallurgical (PM) method has been employed as an efficient strategy to develop distinguished mechanical properties and illustrate the mechanisms of strength increment. Furthermore, Chunguang Shen et al. introductheories . Meanwhitheories . Therefotheories ,189. 3Ti phase, Cu-rich clusters, and other strengthening phases. A novel material with multiple co-existing particles was indicated to achieve comprehensive performance. In the present work, we focus on the establishment of the composition-microstructure-properties model of PHSS to urgently develop novel precipitation hardening stainless steels with superior mechanical properties. We over-reviewed the development history of representative PHSS. The influence of the composition fluctuation of general alloying elements on the microstructure and properties is discussed, and the research progress of the microstructure and properties of PHSS after the heat treatment process is summarized and illustrated, especially in the aspects of mechanical properties to guide the optimization of the heat treatment process. The relationships between precipitation strengthening nanoparticles and the microstructure and properties of steel were revealed, including typical B2-NiAl precipitates, NiCompared to traditional fabrication techniques, the advancement of AM in terms of machine capabilities and process parameters has resulted in the development of parts. The emergence of AM techniques provides strong support for the manufacturing and application of PHSS parts, especially for improving the microstructure and performance of PHSS steel prepared by SLM. At present, the AM technology of alloys is still in the immature stage. The parallel development of AM technology based on the traditional method of fabricating alloys provides convenience for the application of PHSS. There is still an enormous space for SLM to fabricate steel parts due to the drawbacks of PHSS, such as anisotropy, macro and micro defects, and residual stress after the existing processes.The development of new techniques and new approaches ensures the future exploration of PHSS with application potential. Moreover, it is necessary to employ ML strategies in materials science to extract the data from the results of experimental physical metallurgy and multi-scale simulation approaches, rather than trial-and-error methods, to comprehensively and efficiently design tailored PHSS with excellent mechanical properties. Additionally, future investigations will focus on developing reliable and robust databases and modeling the assessable correlations of chemical composition, hot work processes, microstructure, and properties. Machine learning and multi-scale simulation methods are used to reveal the relationship among the fraction and features of precipitates, processes, and properties to achieve accurate regulation of the precipitates. Meanwhile, attention should be paid to the precision heat treatment parameter control that takes into account fluctuations in composition by combining intelligent algorithms.Therefore, ML coupled with multi-scale simulation approaches and experimental methods undoubtedly exhibits a high-efficiency direction toward the development of novel PHSS with high performance, since ML has a strong capability to solve the intrinsic quantitative relationship between the microstructure of composition/process properties in the PHSS system. The prosperity of ML applications in PHSS design is poised to provide the perspective for a novel paradigm in integrated multi-scale computational materials science as a whole."}
+{"text": "Polycystic Ovarian Syndrome (PCOS) is the most frequent hormonal/endocrine disorder in women of reproductive age and is one of the most common causes of infertility. Approximately 20% of Danish women of reproductive age are diagnosed with PCOS, and yet only a little attention has been paid to the psychological symptoms appearing in women with PCOS. The present study investigated anxiety, depression, and lower quality of life among Danish women of reproductive age who are diagnosed with PCOS.This was a cross-sectional survey study among 326 Danish women who self-reported as being diagnosed with PCOS. The Hospital Anxiety and Depression Scale (HADS) was used to measure anxiety and depression, and the PCOS-QOL scale was used to measure the quality of life. Chi-square tests and logistic regression analyses were used for analyzing data.Sixty-six percent of women were found to have anxiety (n = 216), 41% of women had depression and 70% of women had low quality of life The most frequently reported symptoms were irregular menstrual cycle (86%), overweight (73%), and mood swings (65%), and irregular menstrual cycle, overweight and infertility were the were perceived of having higher severity. After adjusting for age, ethnicity, education, and income, the severity of symptoms, namely irregular menstrual cycle, infertility, overweight, and hirsutism, were independently and positively associated with depression, and severity of symptoms, namely irregular menstrual cycle, mood swings, and hirsutism, was independently and positively associated with anxiety. Lower quality of life was independently associated with both anxiety and depression.Women with PCOS are at higher risk of anxiety, depression, and consequently, lower quality of life. Clinicians and other healthcare professionals should pay attention to the importance of mental health support in women with PCOS and work towards promoting it.\u2022\u2002Women with PCOS are at higher risk of anxiety and depression, and lower quality of life.\u2022\u2002Health care professionals working with women with PCOS should be aware of this and be prepared to offer necessary support."}
+{"text": "The interest in membranes and membrane bioreactors for health and life sciences is rapidly growing thanks to their wide applications in advanced therapies and biotechnologies. Therapeutic approaches include the integration of membranes and membrane bioreactors for tissue regeneration and repair, for drug testing and drug delivery, and for cell therapy. Innovative biotechnologies employ membranes and membrane bioreactors for the production and selective separation of biological and bioactive molecules, for the design of diagnostic systems, and for the development of new drugs and pharmaceutical compounds.This Special Issue collects six original research articles by renowned experts, highlighting the current advances and new trends in membrane preparation, the membrane separation process, membrane bioreactors, and membrane applications in tissue engineering and biotechnologies. A new sequential fabrication route of wet spinning combined with UV curing has been presented by Yin et al. for the z-axis and forming a multi-layered epidermis. This strategy represents an attractive tissue engineering approach for the creation of specific human epidermal strata to test the effects and toxicity of drugs, cosmetics, and pollutants.The use of membranes is of key interest in the development of engineered tissues. Membranes provide adaptable biomimetic microenvironments that can emulate the essential characteristics of the physiological ones, including tissue-specific extracellular matrix interactions. Surface properties trigger specific cell responses dictating the cell fate in terms of cell growth, migration, proliferation, differentiation and functional activation. Salerno et al. developeDesign optimization of membrane bioreactors for tissue engineering applications and upscaling analyses requires an in-depth knowledge and understanding of the mass transport of nutrients to ensure uniform distribution and to solve critical limitation issues. Wang et al. investigThe global biopharmaceutical market for therapeutic proteins, vaccines, and gene vector manufacturing requires reliable and efficient separation processes to ensure the safety, potency, and efficacy of the therapeutics. Membrane ion-exchange chromatography promises several advantages over column chromatography, including low operating pressure and fast flow rates, ease of use, and elimination of cleaning and validation costs in single-use applications. To this end, Lemma et al. developeMembrane emulsification is a promising methodology in cosmetic and pharmaceutical biotechnology, with unique properties in terms of precise manufacturing of emulsion droplets under mild operating conditions, suitable to preserve the stability of bioactive labile components. Piacentini et al. used memNovel approaches in membrane technology aim to overcome the main drawback of filtration and separation processes, i.e., membrane fouling. This phenomenon, caused by the accumulation of solutes on the membrane surface or within the membrane pore structure, irreversibly affects the performance of the membranes and increases the overall operational cost due to the need for regular membrane-cleaning procedures. Among the different antifouling strategies that have been employed, magnetic responsive membranes allow for the control of solute-membrane interactions through a reversible adjustment and modification of physicochemical properties of the membrane surface, which translate into tuneable permeate fluxes and superior antifouling characteristics. Upadhyaya et al. developeIn conclusion, the different contributions collected in this Special Issue highlight the multifunctional role of membranes and membrane bioreactors in health and life science applications, addressing critical issues and aspects of the field. Membranes for their help and support during the review process.As guest editors, we would like to thank all the authors for their outstanding contributions. We sincerely feel that overall these papers offer innovative approaches and new trends that could stimulate future research in membrane science applied to the biomedical and pharmaceutical field. We would also like to thank the reviewers for their valuable contributions and the editorial staff of"}
+{"text": "Viral hepatitis is a major global public health problem that affects hundreds of millions of people and is associated with significant morbidity and mortality. Five biologically unrelated hepatotropic viruses account for the majority of the global burden of viral hepatitis, including hepatitis A virus (HAV), hepatitis B virus (HBV), hepatitis C virus (HCV), hepatitis D virus (HDV), and hepatitis E virus (HEV). Omics is defined as the comprehensive study of the functions, relationships and roles of various types of molecules in biological cells. The multi-omics analysis has been proposed and considered key to advancing clinical precision medicine, mainly including genomics, transcriptomics and proteomics, metabolomics. Overall, the applications of multi-omics can show the origin of hepatitis viruses, explore the diagnostic and prognostics biomarkers and screen out the therapeutic targets for viral hepatitis and related diseases. To better understand the pathogenesis of viral hepatitis and related diseases, comprehensive multi-omics analysis has been widely carried out. This review mainly summarizes the applications of multi-omics in different types of viral hepatitis and related diseases, aiming to provide new insight into these diseases. Viral hepatitis is a major global public health problem that affects hundreds of millions of people and is associated with significant morbidity and mortality. Five biologically unrelated hepatotropic viruses account for the majority of the global burden of viral hepatitis, including hepatitis A virus (HAV), hepatitis B virus (HBV), hepatitis C virus (HCV), hepatitis D virus (HDV), and hepatitis E virus (HEV). Despite that HAV does not develop into a chronic infection, HBV, HCV, HDV and occasionally HEV may cause chronic infections, of which HBV and HCV have a significant association with chronic incidence. Most deaths from viral hepatitis are due to HBV and HCV infections. According to the statistics, it was estimated that 296 million people were infected with hepatitis B, 58 million people were infected with hepatitis C and 1.1 million people died as a consequence of viral hepatitis infections in 2019 . In 2015The advances in technology have created a variety of new fields of study, commonly referred to as omics. Omics is defined as the comprehensive study of the functions, relationships and roles of various types of molecules in biological cells. The multi-omics analysis has been proposed and considered key to advancing clinical precision medicine, including genomics, transcriptomics and proteomics, metabolomics and so on . GenomicTo better understand the pathogenesis of viral hepatitis and related diseases, comprehensive multi-omics analysis has been widely carried out. Hence, this review summarizes the applications of multi-omics in different types of viral hepatitis and related diseases, aiming to throw light on the development of these diseases.Hepatitis A virus is a positive-strand RNA virus, which is transmitted through the fecal oral route. HAV outbreaks are often associated with poor sanitation, overcrowding or contamination of food and water . HAV infUsing genomics, To better understand the biogenesis of quasi-enveloped HAV (eHAV) virions, Hepatitis B virus is the most common cause of acute and chronic liver diseases worldwide, and approximately 4 million people are infected with HBV every year, especially in Asia and Africa . About 1By comparing the genomes of ancient African strains and HBV, As the DNA virus, HBV is different from other RNA hepatitis viruses since its viral genome can be integrated into the host liver cell genome. HBV integration is considered to lead to the occurrence of HCC, and the study of its structure is of great significance to the occurrence and development of HBV-related HCC. Advances in genomics have deepened the understanding of the diagnosis, prognosis of HBV-related HCC. The detailed genetic analysis of liver tissue provides important information for tumorigenesis and progression . The finThe applications of proteomics are of great significance in hepatitis B and related diseases . ProteomThe applications of proteomics provide new strategies for the occurrence, progression and replication of HBV. Based on yeast proteomics, In addition to the traditional HBV markers HBsAg and anti-HBs, the applications of proteomics have also expanded the development of diagnostic markers. Two differential proteins, VWF and C8B were considered to have the potential to distinguish HBV infection genotypes B and C and could provide precise guidance for HBV genotyping . The pepIn CHB patients, fibronectin levels in plasma have been demonstrated to be a predictor of HBsAg clearance . Long-teIn recent years, the applications of proteomics in HBV-related cirrhosis have also been reported. Autoantibodies recognized aminoacylase-1 (ACY1) were considered biomarkers to differentiate HBV-related cirrhosis and CHB patients by serum proteomic detection . ProteomProteomics also plays an important role in HBV-related liver failure. As HBV is a risk factor for the development of HCC, the applications of HBV-related HCC proteomics have also been paid more and more attention. O-glucoside was confirmed to inhibit HBsAg and HBV replication through mechanisms involving mitochondria infection . CHC infE-cadherin is a mediator of HCV entry into host cells and is closely related to HCV-induced epithelial-mesenchymal transition. Through functional genomics, Proteomics matters in hepatitis C and related diseases . ProteomDiagnostic and prognostic biomarkers of HCV-related HCC can be discovered by proteomics. Through the comprehensive metabolomics analysis, Through the genome-wide miRNA functional screening and transcriptomic analysis, Hepatitis D virus is only found in humans currently. It is a satellite virus, which is assembled, released and entered by the envelope protein of HBV. It is the smallest known RNA virus, encoding a single protein.Using meta-transcriptomics, Hepatitis E virus (HEV) is an important zoonotic virus that can infect various hosts. It has 7 main genotypes. Patients with HEV infection are mostly asymptomatic, some patients will present jaundice and symptoms of acute hepatitis . Besidesin vitro HEV exposure, which was beneficial for the study of the interaction between HEV and host cells. Three different strains of porcine HEV were identified by The study by In conclusion, the applications of multi-omics have shown the origin and development of the hepatitis virus and provided new strategies for the diagnosis, prognosis and treatment of viral hepatitis and related diseases . There aBesides, multi-omics applications are not limited to genomics, proteomics, metabolomics and transcriptomics, and other omics are also developing, including radiomics, viromics, and so on. The joint application of these omics is believed to provide new insight into viral hepatitis and related diseases.ZX and JL had the idea for the manuscript. ZX and DL performed the literature search and data analysis. XX and XW drafted and critically revised the work. All authors contributed to the article and approved the submitted version."}
+{"text": "The uncertainty of COVID-pandemia, vital danger and disruptions in the habitual social contacts can be paralleled to the experiences of severe emotional stress and violence, usually found in the people with Borderline Personality Disorder. Both can be regarded as hampering the ability to categorize and express thoughts, feelings and experiences. The implementation of distant forms of psychological counseling may accentuate the mentalization deficiency.To develop a theoretical framework for an empirical typology of impairments of mentalization.The model of consciousness proposed by L.S. Vygotsky was used for theoretical generalization of the levels of categorical structures of mentalization observed in previous empirical studies.The following structures were identified: (1) the syncretic type of mentalization with low differentiation and complexity of object representations, their negative affective tone, autistic, chaotically mutable motivation and low emotional investment in relationships were described in patients with schizotypal disorders; (2) the \u201ccomplex\u201d type, with literal, non-generalized, field-dependent and rigid, or unstable, representation of the self, others and relationships as a result of the \u201cfusion\u201d of cognitive representations with the current emotional states. Similar types of mentalization were previously described in people with BPD and self-harming behavior .The \u2019syncretic\u2019 and \u2019complex\u2019 types of mentalization produce affective-cognitive distortions of the image of a psychotherapist, hamper the understanding of the conditional and metaphorical character of the therapeutic process, render difficult the de-traumatization of the unbearable experiences, and lessen the effectiveness of consultations of people with BPD.No significant relationships."}
+{"text": "Systematic research efforts have been focused on the development of low-dimensional structures, such as nanotubes (NTs), because of the potential of their use in nanodevices and in applications in nanoelectronics and biomedicine. After intense investigation on carbon nanotubes (CNTs), nanotubes made up of elements other than carbon, called non-carbon nanotubes (N-CNTs), have also attracted research attention, as they can be more suitable for electronic and optical engineering applications than their carbon counterparts. Success in assembling CNTs and N-CNTs together has opened the perspective of integrating these innovative complex structures into advanced NT-based systems. As experimental studies on the mechanical behaviour of CNTs and N-CNTs are limited by experimental difficulties in characterizing nanomaterials at the atomic scale, theoretical, analytical and numerical studies to predict the mechanical properties of NTs are of great importance.This Special Issue, comprised of a total of five research articles, is dedicated to recent developments in the modelling and numerical simulation of the mechanical properties of graphene sheets ; CNTs anThe next two research articles ,3 of theThe research article of Pereira et al. is dedicThe last article by Sakharova et al. providesThe works of this Special Issue promote research for the evaluation of the mechanical properties of carbon and non-carbon nanotubes and CNT-based structures by mostly numerical approaches. As a Guest Editor, I believe that the overall quality of the methodologies and achievements presented in this Special Issue contributes to the progression in our understanding of the mechanical behaviour of carbon and non-carbon nanotubes, aiding the future design and optimization of advanced nanotube-based structures."}
+{"text": "Due to volatile, uncertain, complex, and ambiguous (VUCA) project context, human decision-making behaviors can affect the performance of engineering project. Therefore, understanding the process of perception, cognition, and decision caters to minimizing the risks that attribute to behaviors . Peng et al. focused on safety behaviors in transportation systems. They introduced theories of electroencephalogram (EEG) and the utilization of EEG in scenarios of fatigued driving, distracted driving, and emotional driving. Lastly, Wang et al. utilized bibliometric methods to summarize the interdisciplinary applications of neuroscience tools in building construction. The results show that EEG and eye-tracking techniques are the predominant neuroscience tools in building construction studies, while functional near-infrared spectroscopy (fNIRS), functional magnetic resonance imaging (fMRI), and trigeminal nerve stimulation (TNS) are still at the adoption stage .Amongst the non-original research articles, Fan C. et al. regard EEG signals as the gold standard of cognitive status and proposed an end-to-end brain-computer interface framework named EEG-TNet for mental workload estimation of workers. The event-related potential (ERP) is a kind of real-time EEG signal related to the stimuli events , etc.] to promote management efficiency in the engineering industry. EEG, for instance, has been used in five of all thirteen original research articles. Among them, Qu et al. proposed a method to identify human-computer interaction intention and cognitive state based on eye movement and EEG parameters to solve the unsmooth and inefficient problems in human-computer interaction. Equipment teleoperation is a powerful solution for hazardous construction environments and attracted researchers' attention. Fan J. et al. investigated the effect of eye movement on teleoperation performance in excavating tasks. They built eye-tracking heatmaps with virtual annotations, representing operators' visual attention allocation. Based on these heatmaps, they concluded that visual attention is influenced by the excavating tasks and the shape of virtual annotations plays a critical role in visual attention allocation.Two studies using eye-movement parameters were presented in the Research Topic. Hu and Shealy used fNIRS to measure the neuro-cognition changes of the engineers when they were asked to evaluate the implementation of conventional stormwater and green stormwater design options. So as to test whether design engineers think about the environmental and social sustainability benefits of green infrastructure can influence what attributes engineers consider and how they weigh these attributes during the design decision-making process. Ding et al. focused on the problem of the increasing hazards caused by construction and demolition (C&D) waste in the construction industry. In order to explore measures that could mitigate the problem, fNIRS has been used to investigate whether the media can influence consumers' willingness to pay for C&D waste recycling products and thus increase consumers' choices.The association between engineering decision-making and neuro-cognition was examined in two studies using fNIRS. Yang et al. attempted to explore the role of the right temporoparietal junction in the effects of the CEO-to-employee pay ratio on potential investors' perceived investment potential in the construction industry. The mechanisms underlying these effects of tDCS in the right temporoparietal junction on the perceived investment potential are also explored in the study.Zhao, Ao, et al. found that the experience of home-based learning significantly influenced the attitudes of university students of civil engineering, which in turn had a positive influence on their intention to continue online education. Chen et al. developed a whole-process digital management system platform and used a variety of advanced digital construction hardware and three-dimensional model software to coordinate the measurement, design, construction, and inspection work in the process of highway engineering construction. Zhao, Wang, et al. explored the key influencing factors of urban intelligent transportation construction and proposed a root cause analysis method based on a fuzzy cognitive map to model the construction process.Lastly, three papers in this Research Topic use different tools to explore the measures to increase the efficiency of engineering education and the construction industry. We appreciate the contributions of all the authors, the reviewers, and the editorial board members for contributing to this Research Topic. We hope that this Frontiers Research Topic can enrich the body of knowledge and encourage the utilization of cognitive neuroscience theories, methods, and tools in the Architecture, Engineering, and Construction Industries.All authors listed have made a substantial, direct, and intellectual contribution to the work and approved it for publication.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest.All claims expressed in this article are solely those of the authors and do not necessarily represent those of their affiliated organizations, or those of the publisher, the editors and the reviewers. Any product that may be evaluated in this article, or claim that may be made by its manufacturer, is not guaranteed or endorsed by the publisher."}
+{"text": "Multiple hospitalisations towards the end of life is an indicator of poor-quality care. Understanding the characteristics of patients who experience hospitalisations at the end-of-life and how they vary is important for improved care planning.To describe socio-demographic and clinical characteristics of patients diagnosed with serious mental illness who experienced multiple hospitalisations in the last 90 days of life.Data for all adult patients with a diagnosis of serious mental illness who died in 2018-2019 in England, UK were extracted from the National Mental Health Services Data Set linked with Hospital Episode Statistics and death registry data. Variables of interest included age, gender, marital status, underlying and contributory cause of death, ethnicity, place of death, deprivation status, urban-rural indicator, and patient\u2019s region of residence. The number of hospitalisations and patient\u2019s sociodemographic & clinical were described using descriptive statistics and percentages, respectively.Of the 45924 patients, 38.1% had at least one hospitalisation in the last 90 days of life. The median number of hospitalisations was 2. Most of those hospitalised , died in a health care establishment . There were marked geographic differences in the proportions of hospitalisations.The North West region of England recorded the most hospitalisations , compared to other regions.Further analysis is needed to understand factors independently associated with hospitalisations in people with serious mental illness. Funding: This project is supported by the National Institute for Health Research (NIHR) Applied Research Collaborations (ARC) South London."}
+{"text": "Gliomas are the most common and aggressive intra-axial primary tumours of the central nervous system (CNS), arising from glial cells. The poor prognosis of these tumours partly results from a lack of significant advances in early diagnosis and treatments prolonging life .Most of the available local treatment options, including radiotherapy and neurosurgery, heavily depend on precise knowledge of the type, location, and extent of the tumour. Visual assessments of medical imaging represent a unique possibility for the detection, characterization, and monitoring of diseases. Qualitative evaluations still represent the modality for intraoperative assessments using ultrasound (ioUS) and/or optical coherence tomography (OCT) to identify lesions and potential residue, analyse the vascularization pattern, and characterise the nature of the mass. Technological advances in both structural and functional imaging (MR and PET imaging) also enables defining several images features, through multiparametric and quantitative evaluations of gliomas ,3.In the field of quantitative imaging, the main issues regard the acquisition/reconstruction parameters, tissue segmentation, feature extraction/selection, and the appropriate statistical analysis of data .Radiomics analysis, considered to be the most advanced development inimage quantification, may provide valuable diagnostic, prognostic, and predictive information of tumours. However, its role in gliomas is still undefined. Numerous studies have demonstrated the correlation between the heterogeneity of the tissues and the radiomics features, which can obtain relevant information not conventionally assessable in medical imaging ,6. FuturThere is still a need to validate the advanced use of MR and PET techniques, as the diagnostic methods increasingly utilized in clinical and research settings ,8,9,10. Diagnoses, disease extensions, vascularization patterns, differential diagnoses between low-grade and high-grade gliomas, and definitions of disease status after treatment remains the main issues of medical imaging in gliomas. This Special Issue will focus on developing in vivo quantitative and qualitative imaging , also considering the novel application of radiomics-based analysis to improve the current role of imaging in the management of gliomas.We invite authors to submit contributions of novel findings or reviews that comprehensively highlight the latest discoveries in the field."}
+{"text": "The Second International Conference on Rail Transportation (ICRT), initiated and hosted by Southwest Jiaotong University, completed its agenda after two days of academic reports and seminars, and came to a successful end on 6 July 2021, in Chengdu, China. The conference chairman was\u00a0Professor Wanming Zhai from Southwest Jiaotong University.\u00a0The conference received tremendous support from multiple co-sponsors including National Natural Science Foundation of China, Transportation & Development Institute of ASCE, National Innovation Center of High Speed Train of China, University of Illinois at Urbana-Champaign, Tongji University, Delft University of Technology, China Academy of Railway Sciences, Royal Institute of Technology (KTH), Central South University, Politecnico di Milano, Central Queensland University, Beijing Jiaotong University and University of Technology Sydney.The 2nd ICRT covered a variety of railway research fields such as rail vehicles, infrastructures, traction power, operation and maintenance, environment impacts, sustainable development, etc. Affected by the COVID-19 epidemic, the conference was held in a combination of online and live ways. As one of the largest gatherings of railway researchers, engineers, and technicians, this conference has attracted more than 70 well-known experts to join the conference committees, over 300 Chinese representatives to meet in Chengdu, and thousands of scholars from 22 countries to participate online. After a rigorous peer review process, the conference has accepted 120 full-length papers from 18 countries, and 96 oral presentations have been selected in the conference program.Railway Engineering Science is published for the extended versions of six plenary presentations, which are related to design of locomotive, wheel-rail interaction, train-bridge interaction, railway track structure and subgrade. The following are brief introductions of the six articles:Prof. Maksym Spiryagin from Central Queensland University, Australia, systematically presented the problems, assumptions and solutions in locomotive design, traction and operational studies and summarized the existing major challenges in the future developments of locomotive traction science and digital twins.The research team led by Professors Yunmin Chen and Xuecheng Bian of Zhejiang University, China, focused on the mud pumping problem in high-speed railway. On the basis of the numerical simulation, in-situ soil core test, and full-scale physical model of ballastless track, the formation of mud pumping in roadbed of ballastless track was revealed, and the effectiveness and engineering application of the polyurethane injection on mud pumping remediation was verified.Prof. Buddhima Indraratna from University of Technology Sydney, Australia, presented the mechanical behaviors of four recycled rubber products applied in railways and developed a rheological track model to reveal the energy dissipation capacity of the track with these applications, which may promote environmental sustainability and more affordable ballasted tracks.Prof. Ant\u00f3nio Gomes Correia from University of Minho, Portugal, proposed a geomechanics classification for subgrade coupling the stiffness (resilient modulus) and permanent deformation behaviour, which could be a potentially useful tool in the evaluation and modelling of the foundation of railway structures.The research team led by Prof. Zili Li of Delft University of Technology, the Netherlands, presented new insights into the friction modifiers (FMs) by experimentally investigating the effects of two types of top-of-rail FMs, and their application dosages on wheel\u2013rail dynamic interactions with various angles of attack.Prof. Yongle Li from Southwest Jiaotong University, China, presented a comprehensive literature review of research works on train\u2013bridge systems under external excitations including crosswinds, waves, collision loads, and seismic loads, and provided some valuable suggestions for further research on train\u2013bridge coupling vibrations under external excitations.Particularly, nine distinguished railway experts from different research fields were invited to deliver plenary presentations, who shared the state-of-the-art academic research and engineering practices. This Special Issue of These papers collectively present the recent progress, new insights and in-depth discussions in the aspect of essential challenging issues from rail transportation industry, which are expected to provide useful guidance and inspiration for the above research subjects.We would like to sincerely appreciate all contributing authors, involved peer reviewers, management and technical teams for their effort, time and collaboration to guarantee the high-quality publications of this Special Issue."}
+{"text": "Genomics, transcriptomics and metabolomics are increasingly generating key insights for the development of precision approaches in heath and disease. Omics technologies have unlocked the high-throughput discovery of diagnostic biomarker and the systems-level evaluation of the efficacy and toxicity of novel therapies.In the subfield of sport medicine and sport science, the application of -omics methods is relatively recent; yet, the number of peer-reviewed original research articles has seen a steady rise over the last years.Athletic performance can be affected by a combination of endogenous and exogenous factors, including genomic and metabolomic profiles, as well as diet, medicament/drug intake, training regimen, and exercise. In this respect, the application of omics approaches encompassed, for instance, the multi-parametric assessment of training efficacy, injury predisposition, and the identification of robust biomarkers for the indirect detection of potentially \u201cinvisible\u201d forms of doping. In addition, multi-omics integration approaches in sport medicine and doping sciences hold a clear promise for better understanding of the molecular/system levels of athlete\u2019s pathophysiology.What we believe should be indispensable to maximize the potential benefit that such approaches promise, is the promotion of cross-disciplinary and collaborative science, beyond the individual laboratories and research institutions.If we wish to ensure that evidence-based, multi-omics studies, will be complementing efficiently, omics data and the associated meta-data should be available without delay in curated repositories. The availability of omics data generated in independent studies, will enable results validation in the context of distinct populations of subjects/athletes , and allow to gauge unprecedented insight from genome-wide association studies (GWAS) to identify associations between genotypes and phenotypes and how this reflects on performance and drug testing. Meta analyses of literature data would indeed allow to assess and possibly validate any cause-effect relationships emerged from new studies, also, but not only, allow replication and confirmation of the results.In this first volume of the special research topic \u201cOMICS-Based Approaches in Sports Research\u201d, we welcomed submissions tackling 1) integrated omics in sport physiology and pathophysiology, 2) predictive biomarkers associated with improved athletic performance and on sport related risks on athlete\u2019 heath and injuries, 3) investigation of hormones and growth factors for improved anti-doping tests, 4) identification of novel biomarkers for the detection of sport doping, 5) novel statistical/modelling approaches for omics data integration, interpretation and doping detection. The feedback we received was beyond our most optimistic expectations: 57 scientists responded to our call with eight full length, high quality original articles. All published contributions are now available \u201copen access.\u201dThese studies covered different subfields of sport medicine and physiology of exercise, ranging from the interaction between mitochondrial function and the microbiome, to novel, indirect methods for the detection of doping.Khoramipour et al. applied metabolomics to compare metabolic profiles and movement patterns between different male basketball player positions, with focus on relationships between indicators of internal and external loads during elite basketball games. The integration of video-based time motion analysis (VBTMA) with metabolomics of saliva samples and multivariate data analysis demonstrated distinct metabolic profiles of backcourt and frontcourt players, with significant changes involving aerobic/anaerobic pathways.Mach et al. addressed the impact of endurance exercise on the functionality of mitochondria and on the composition of the gut microbiome in elite horses. The authors used transcriptomics, metabolomics and fecal microbiome analysis before and after hose endurance race. Their results show the association between energy metabolism, oxidative stress and inflammation with butyrate-producing bacteria, suggesting the possibility of enhancing/improving athletic performance by targeting the gut-mitochondria axis.Narduzzi et al. used steroidomics and complete blood count analysis to tackle one among the most debated topics in doping testing, that is the detection of the intake of low doses of human growth hormone (GH) in association with recombinant erythropoietin. GH intake affects human hematopoiesis and steroidogenesis. Thus, the authors analyzed the complete blood count and the steroidomics profile in healthy, physically active young males and demonstrated that leukopoyetic and steroidal biomarkers in conjunction with classical endocrine biomarkers allow the accurate detection of the intake of micro-doses of recombinant GH.Al-Muraikhy et al. dissected the influence of age and high intensity endurance on the effect of aerobic exercise on the complement system. Using peripheral blood, they show that high endurance elite athletes exhibit lower levels of complement components C2, C3b/iC3b and adipsin, and this observation is age-independent.Al-Menhali et al. studied the proteomic responses of the heart to exercise training in mice by high resolution mass spectrometry. Proteomics analysis revealed specific changes in proteins involved in the respiratory electron transport chain and implicated in glutathione conjugation. These results represent a further step towards the full understanding of the molecular mechanisms underlying the beneficial effects of exercise on the heart.Al-Muraikhy et al. addressed the issue of biological aging and its correlation to alterations in the metabolic pathways, specifically characterizing the metabolic activity in relation to telomere length in elite soccer players.Lima et al. investigated whether whole blood in long-term storage and whole blood left over from standard hematological testing in short-term storage could be used for transcriptomic analysis, despite lacking RNA preservation; their result show that quantity, purity, and integrity were not significantly compromised from short- or long-term storage in blood storage tubes lacking RNA stabilization, indicating that transcriptomic analysis could be conducted using anti-doping samples collected or biobanked in absence of RNA preservation.Sellami et al. outlining the state of the art and the expected forthcoming developments of molecular big data and omics-disciplines in sports sciences.Finally, the first volume of this special research topic was closed by a perspective article by We thank all the Authors for the time and energy dedicated to the preparation and submission of the articles published in \u201cOMICS-based Approaches in Sport Research\u201d, and we look forward to welcome submissions of new articles for the second volume."}
+{"text": "The \"Law on Doctors of the People's Republic of China,\" which was officially implemented on March 1, 2022, emphasizes the requirements for rational drug use and the necessity for appropriate management of off-label drug use. The safety and ethical considerations related to off-label drug use are different in children than in adults. There is so far no management guideline for pediatric off-label use of drugs in China, and the applicability of foreign guidelines is limited. Establishing a localized evidence-based management guideline for pediatric off-label use of drugs to support the national legislation and clinical practice is of critical importance.We established a guideline working group, including experts from a broad range of disciplines and developed recommendations following the guidance of the World Health Organization Handbook and the Chinese Medical Association. The following themes were identified by questionnaires and expert interviews to be of great concern in the management of off-label drug use in children: general principles and characteristics of management of pediatric off-label drug use; establishment of expert committees; evidence evaluation; risk\u2013benefit assessment; informed consent; monitoring and assessment of the risk; and monitoring and patient education. Two rounds of Delphi surveys were organized to determine the final recommendations of this guideline. We graded the recommendations based on the body of evidence, referring to the evaluation tool of the Evidence-based management (EBMgt) and the Oxford Center for Evidence-Based Medicine: Level of Evidence (March 2009).We developed the first guideline for the management of pediatric off-label use of drugs in China.The guideline is to offer guidance for pediatricians, pharmacists, medical managers, policymakers, and primary care physicians on how to manage off-label drug use in pediatrics and to provide recommendations for Chinese healthcare policy in the future.The online version contains supplementary material available at 10.1186/s12887-022-03457-1. Off-label use refers to the use of drugs beyond the scope of the drug instructions and labels provided by the manufacturer and approved by the National Medical Products Administration of China . DiffereThis guideline was developed by the Chinese Society of Pediatric Clinical Pharmacology, the Chinese Medical Association, the National Clinical Medical Research Center for Child Health and Disease , and the Chinese GRADE Center. Methodological support was provided by the Chinese GRADE Center, the World Health Organization (WHO) Collaborating Center for Guideline Implementation and Knowledge Translation, and the Institute of Health Data Science, Lanzhou University. The guideline was launched on April 12, 2021, and finalized on December 24, 2021. The guideline followed the methodology proposed by WHO and the Experts from a broad range of disciplines including pediatrics, pharmacy, management and health policy, and evidence-based medicine, as well as parents of children participated in the development of the guidelines. The participants were divided into the steering committee, a secretarial team, an evidence team, a consensus team, and an external review team. A full list of members is provided at the end of this article. All members completed a declaration of interest form and stated that they had no economic conflicts of interest directly relevant to this guideline.This guideline is registered at the International Practice Guideline Registry Platform (Registration no. IPGRP- 2021CN088). The guideline protocol is available on request from the registration platform.The target audience of this guideline includes pediatricians, pharmacists, medical managers, policymakers, and primary care physicians. The management population of the guideline is children and their guardians.The themes of this guideline were determined during one round of a questionnaire-based survey and two rounds of expert interviews. At the beginning, the working group identified 11 themes by analyzing published guidelines relevant to the topic and interviewing pharmaceutical specialists. Subsequently, we developed a questionnaire to evaluate the importance of these themes and ask suggestions for additional themes. Sixty-six themes were obtained through the feedback from the survey. After de-duplication, merging, and discussion with the consensus team meeting, eight themes were finally selected to be included.We performed a systematic literature search for each question through PubMed, Web of Science, Embase, China Biomedical Literature Database (CBM), WanFang Data, and China Knowledge Network database (CNKI) to identify literature published from inception to August 13, 2021. We used the search terms \"pediatric*\", \"paediatric*\", \"child*\", \"infant*\", \"adolescent*\", \"neonat*\", \"newborn*\", \"teen*\", \"off-label\", \"off label use*\", \"unlabeled use*\" and \"unlicensed medicines\" combinedBased on the summary table of the available evidence for each theme and consideration of patients' preferences and values, fairness, and the implementation ability of the management measures, we drafted initial recommendations on off-label drug use for children. Two rounds of Delphi surveys on recommendations were then conducted on November 4, 2021, and November 8, 2021, respectively, and a total of 19 suggestions from experts were collected. Recommendations were considered to have reached a consensus when 80% of the voters agreed to the recommendation.The secretariat prepared the first version of the guideline in accordance with the RIGHT checklist and sent the full text to the external review committee. All opinions and recommendations of the review committee were taken into consideration in the revision and creation of the final draft of the guideline.This guideline is planned to be updated within three to five years based on emerging relevant evidence, following the Reporting Items for Updated Clinical Guidelines: Checklist for the Reporting of Updated Guidelines (CheckUp ) checkliThe guideline entitled \"Management Guideline for the Off-label Use of Drugs in China 2021)\" focuses on the definition of off-label use of drugs, evidence grading standards, management of informed consent, monitoring of adverse drug reactions and adverse events, main responsibilities of hospitals and manufacturers, conditions for reimbursement by social health insurance, and the national approval system, resulting in recommendations in nine thematic areas of health care workers did not follow the \u201cExpert Consensus on Off-label drugs in pediatrics in China\u201d guidance document, with 52.6% of the reasons being \"no expert group on off-label use\" .To ensure the rationality of off-label use of drugs to treat children, the process of protocol development and safety monitoring requires the discussion and collaboration of experts from various disciplines, including pediatricians, pharmacists, and nurses \u201317. In aGuidelines and consensus statements on the management of off-label use of drugs for children from China and abroad emphasize that off-label drug use should be evidence-based. Most clinicians, however, lack the necessary skills and time to conduct systematic reviews of existing evidence . EvaluatClinical experts in the corresponding diseases.Non-clinical experts in medical technology, such as professionals in clinical testing, pathology, imaging, or ultrasound.Experts in the field of essential medicine, such as biologists and pharmacologists. In complex clinical cases involving, the expert committee can be expanded if the expertise of the regular committee does not cover all aspects related to the actual situation of the patient. Under the principles of individualized medical model and precision medicine, we suggest that the expert groups should be expanded on a case-by-case basis to include non-clinical medical technologists and basic medicine specialists when discussing off-label treatment of children who have comorbidities or need to take multiple drugs off-label at the same time. For example, we suggest including microbiologists for questions regarding the off-label use of drugs to treat infectious diseases; and radiologists for questions related to ultrasound and MRI contrast agents in children.Formulating and regularly updating the list of drugs commonly used off-label for children in their respective medical institution;Participate in consultations for off-label drug use in children;Promptly release data on serious adverse events or adverse reactions(ADRs) related to off-label drug use. Evidence from adults can be used as indirect evidence;In the lack of high-quality pediatric clinical evidence, an extrapolation of evidence from adult trials can help mitigate the impact of limitations caused by insufficient sample size, disruption of equilibrium, and heterogeneity in pediatric clinical trials . Both thWe suggest assessing the evidence by systematic reviews in cases when there are not yet any approved indications for children, but there is evidence for both adults (in China) and children (anywhere).When there exists evidence only from Chinese adults evidence and no high-quality evidence is available for the pediatric population, we suggest using these findings with caution. A comprehensive analysis of all available information and data is required prior to use, including differences in organ function in specific age groups, the impact on pharmacological characteristics, knowledge of the disease, epidemiological conditions, non-clinical trial data, pharmacokinetics (PK), pharmacodynamics (PD), clinical effectiveness, and safety differences between adult and pediatric populations for drugs with the same or similar mechanism.Evidence from similar diseases in children can be used as indirect evidence;Evidence from pharmacokinetic or pharmacodynamic equivalency modeling studies on pediatric populations can be used as indirect evidence.Evidence from similar diseases may need to be considered for some specific types of disease, such as rare diseases in children , 30 or pIt is not suitable to adopt the adult dose directly for children based on the child's age and weight alone . InsteadBenefit and risk assessment is an appropriate method to judge the rationality of off-label drug use , 5. In rThe severe shortage of drugs for neonates is a worldwide problem , 40, maiCompared with adults, assessing the benefit-risk of off-label use of drugs in children is more complicated . BecauseInformed consent is a crucial tool for doctors and patients to defend their legitimate rights and interests. Although children have a limited ability to estimate risks, signing informed permission is vital for children's mental health and treatment participation. Article 19 of the Civil Code of the People's Republic of China stipulatEvidence-based drug databases and drug directories, such as the Micromedex Pharmaceutical Database, the British National Formulary for Children (BNF-c) , the DutCurrently, awareness on the principles of adequate off-label drug use is poor among clinicians . For halThe World Health Organization categoriCurrently, adverse drug response events are being monitored and reported through the National Adverse Drug Reaction Database of the State Drug Administration in China . HoweverWhile clinicians, pharmacists, and nurses should individually assess the risk of children taking off-label drugs during the process of monitoring adverse drug reactions, we suggest seeking help from parents or guardians of children, especially of children who are incapable of autonomous behavior , 72.Pediatricians should consider whether or not their child patients have the ability to be independent during drug education. 83.5% of medical working groups believed that the family members or guardians of children should be informed when they use off-label drugs . As a reComprehensive drug education is essential to the safety of off-label use of drugs for children. For example, for children and adolescents who use psychotropic drugs beyond the label, a list of information on overdose drug instructions is required . The druEffective drug education enhances doctor-patient communication, promotes public knowledge of safe drug use, and reduces misunderstanding-related doctor-patient confrontations , 81. BecAlthough the guideline is the first Chinese evidence-based guideline for the management of pediatric off-label use of drugs, there were certain difficulties in the application of evidence-based methodology in the area of health care. Because of the diversity and heterogeneity of the types of research on each topic, we were unable to produce systematic reviews of evidence.Off-label use of drugs in children is common globally, also in China. This guideline provides 21 recommendations grouped into 8 themes and a list of evidence on the common types of off-label use of drugs in children, in order to assist the management of pediatricians, pharmacists, medical managers, policymakers, and primary care physicians on off-label use of drugs in pediatrics, as well as provide recommendations for future healthcare policies in China.Additional file 1: Supplementary 1. Management Guideline for the Off-label Use of Drugs in China (2021).\u00a0Supplementary\u00a02.\u00a0A list of common types pediatric off-label use of drugs, evidence levels, and recommendations."}
+{"text": "Empoasca onukii and Trialeurodes vaporariorum. Ecological shading significantly affected the composition of soil microbial communities in tea plantations, in which WS significantly reduced the diversity of soil microorganisms.Ecological shading fueled by maize intercropping in tea plantations can improve tea quality and flavor, and efficiently control the population occurrence of main insect pests. In this study, tea plants were intercropped with maize in two planting directions from east to west ) and from north to south and west shading (WS)) to form ecological shading, and the effects on tea quality, and the population occurrence and community diversity of insect pests and soil microbes were studied. When compared with the non-shading control, the tea foliar nutrition contents of free fatty acids have been significantly affected by the ecological shading. SS, ES, and WS all significantly increased the foliar content of theanine and caffeine and the catechin quality index in the leaves of tea plants, simultaneously significantly reducing the foliar content of total polyphenols and the phenol/ammonia ratio. Moreover, ES and WS both significantly reduced the population occurrences of Camellia sinensis (L.), is a subtropical perennial evergreen crop, and it is one of the main cash crops in China /EGC (%) \u00d7 100 . The pheEmpoasca onukii and Trialeurodes vaporariorum, as being the main insect pests in the tea plantation, were selected to assess the effects of ecological shading by intercropping maize on the population occurrences of insect pests. Moreover, the Shannon\u2013Wiener index (H), Pielou evenness index (E), Margalef richness index (D) and Simpson dominance index (C) of the insect community were calculated based on the species and numbers of sampled insects on tea plants. The formulas are as follows:The field investigation was conducted every 10 days after the intercropped maize plants were taller in height than tea plants, i.e., from the last ten days of July to the last ten days of October in 2019 and 2020, respectively. Three tea plants were randomly selected for each treatment of the ecological shading and its respective control (WECK for ES and WS and SSCK for SS) to count the number of insects, and the species of collected insects were also identified and classified. Cameras, insect nets, and suction-implements were used as methods of insect collection and statistics. In this experiment, two key insect pests, Shannon\u2013Wiener diversity index:Pielou evenness index:Margalef richness index: Simpson dominance index:iP: relative abundance of insect species i; iN: number of individuals for species i; N: the total number of individuals of all species in the community; S: the number of species in the community; Hmax: Maximum species diversity index.Chao1 index, Shannon\u2013Wiener diversity index (H), Pielou evenness index (E), and Simpson dominance index (C). The latter three formulas were same as in Chao1 = S + F12/2F2), F1 and F2 are the count of singletons and doubletons, respectively.On 2 October 2020, three sampling sites were randomly selected in each treatment of ES, WS, SS, WECK and SSCK, and the surface soil (depth: 0\u201320 cm) near the tea tree plants was collected. The collected soil samples were sent to Shanghai Personal Biotechnology Co., Ltd. for the 16S rRNA gene sequencing study. Initial screening was performed on the original off-board data of high-throughput sequencing based on sequence quality and retested the problem samples. The library and samples were divided according to the index and barcode information of the original sequence of an initial quality screening, and then the barcode sequence was removed. We performed sequence denoising or operational taxonomic units (OTUs) clustering, according to the QIIME2 DADA2 analysis process or V-search software analysis process. The specific composition of each sample (group) at different taxonomic levels was displayed to understand the overall situation. In order to compare the differences in microbial composition among the samples and display the distribution trend of species abundance of each sample, a heat map was used for species\u2019 composition analysis. The heat map was drawn using abundance data from the top 20 genera with an average abundance. The horizontal and vertical coordinates of the heat map plotted the clustering tree ordering according to the correlation between the samples, i.e., plotted the clustering heat map. The diversity indices of soil microbial communities for different samples were counted, including the E. onukii and T. vaporariorum, and the dynamic values of the community diversity indexes for the insects in the tea plantations. Additionally, one-way ANOVAs were used to analyze the effects of ecological shading treatment on the diversity indices of soil microbial communities in the tea plantation. Furthermore, the significant differences between/among treatments were analyzed by the LSD test or t-test at p < 0.05.SPSS 25.0 and GraphPad Prism 7 were used for the statistical analysis. The latter was used for making line and column charts. A two-way repeated measures ANOVA was used to analyze the effects of sampling year (2019 vs. 2020), ecological shading treatment and their interaction (with sampling time as repeated measures) on the measured indexes of foliar soluble nutrients, functional components and quality indexes of the tea leaves, the population dynamics of the key species of The ecological shading treatment and sampling year both had significant effects on the foliar contents of soluble sugars and free fatty acids, while it had no significant effect on the foliar content of the soluble protein in tea plants . When coThere were no significant differences in the contents of the foliar soluble nutrients of the tea plants among the three ecological shading treatments of SS, ES and WS . AdditioEcological shading treatment, sampling year and their interaction had significant effects on the foliar contents of the functional components of tea plants. When compared with the respective control no-shading treatment , the ecological shading treatments of SS, ES and WS significantly reduced the foliar content of polyphenols, and significantly enhanced the foliar contents of caffeine and theanine in the tea plants .The foliar polyphenol content of the tea plants in the control no-shading treatment of EWCK was significantly higher than that in the control no-shading treatment of SSCK, and the trend was just opposite for the foliar theanine content, while there was no significant difference in the foliar caffeine content of tea plants between the two control no-shading treatments of SSCK and EWCK . MoreoveEcological shading treatment, sampling year and their interactions had significant effects on the leaf quality indexes of tea plants, except for the effect of sampling years on the phenol/ammonia ratio of tea leaves. When compared with the respective control no-shading treatment (SSCK or EWCK), the ecological shading treatments of SS, ES and WS significantly increased the catechin quality index, and significantly decreased the phenol/ammonia ratio in the leaves of the tea plants . MoreoveT. vaporariorum and E. onukii on tea plants, except for the effect of sampling year on the population dynamics of E. onukii fed on tea plants. When compared with their respective control no-shading treatment (SSCK or EWCK), the ecological shading treatments of ES and WS significantly reduced the population dynamics of T. vaporariorum and E. onukii on tea plants, while the ecological shading treatment of SS significantly increased the population dynamics of T. vaporariorum on tea plants . Additionally, the ecological shading treatment significantly influenced the values of the Margalef richness index (D), and the sampling year significantly impacted the values of the Simpson dominance index (C), describing the insect community in tea plantation , and the ecological shading treatments of ES and WS both significantly increased the value of the Margalef richness index (D) of the insect community in the tea plantation (H), describing the insect community in the ecological shading treatment of ES, was significantly higher than that in the ecological shading treatment of SS (When compared with their respective control no-shading treatment (SSCK or EWCK), the ecological shading treatments of ES significantly enhanced the value of the Shannon\u2013Wiener index , and Acidothermus, Acidibacter, AD3, Subgroup_2, WPS-2 and IMCC26256 were the six dominant bacterial genera , Pielou evenness index (E) and Simpson dominance index (C)) in the tea plantation , Pielou evenness index (E) and Simpson dominance index (C) of the soil microbial microorganisms, while the ecological shading treatments of SS and ES did not significantly affect the community diversity indexes of the soil microbial microorganisms in the tea plantation (H), Pielou evenness index (E) and Simpson dominance index (C) of the soil microbial microorganisms in the control no-shading treatment of EWCK were significantly higher than those in the control no-shading treatment of SSCK , Pielou evenness index (E) and Simpson dominance index (C) of the soil microbial microorganisms in the ecological shading treatment of ES were significantly higher than those in the ecological shading treatments of SS and WS, and these three community diversity indexes of soil microbial microorganisms in the ecological shading treatment of SS were significantly higher than those in the ecological shading treatment of WS in the shade treatments (ES and WS) decreased and the insect diversity index increased. It is speculated that the shading effect of maize might have caused the changes of the content of secondary metabolites in tea leaves, and indirectly affected the occurrence of pests. Studies have shown that secondary metabolites affect insects\u2019 food selection, feeding and utilization, and thus affect insects\u2019 growth, behavior, and population biology [A large number of studies have found that the incidence of plant diseases and insect pests in the compound cultivation mode of tea plantation was relatively mild . When cobaccarum . Our fin biology . Prior s biology ,40,41. OSoil microbes decompose organic matter, participate in soil nutrient cycling and plant nutrient supply, and the composition of their community structure is a major indicator for assessing soil quality and fertility . Some scProteobacteria, Acidobacteria, and Actinobacteria were the relatively large microflora in farmland soil, and intercropping had an effect on their proportion in the community. In this experiment, the ecological shading of maize affected the composition and distribution of the soil microbial community.The results of this experiment showed that the Chao1 index, Shannon\u2013Wiener index, Pielou evenness index and Simpson dominance index of soil microbial community were decreased by the western shading of maize, i.e., the richness, diversity, evenness and dominance of the soil microbial community were decreased. It must be mentioned that the shade was the most intuitive feeling for people when intercropping with corn in tea plantation. However, the causes for the changes of tea detection indexes and quality were closely related to the changes in the soil microbial structure and field temperature, the occurrence of plant diseases and insect pests, and the changes of tea garden biodiversity after the shade formation. The changes in tea quality were the combined result of shading, pest reduction and changes in soil structure. This is an important point in pastoral landscape design: it is not a separate existence but a mutual influence. Agroforestry combines the use of trees with annual crops or fodder plants on the same piece of land that build up synergies, which leads to a higher resilience and allows crops to maintain long-term productivity .The effects of the ecological shading formed by intercropping maize on tea foliar soluble nutrients, foliar functional components, quality indicators, insect occurrence in tea plantation, and soil microbial diversity were summarized from different planting directions \u00a0Table A2"}
+{"text": "Data was collected using a structured questionnaire and analyzed with Microsoft Excel software.one hundred and fifty-one (151) health facilities with a total bed capacity of 3089 were enrolled into the study. Overall, the least prepared infection prevention and control, water and sanitation core components in ascending order were the coordination committee structure (13.19%), guidelines and SOPs (21.85%), vector control (22.02%), staff management (30.63%), and training received (33.64%). The best prepared components in descending order were integrated disease surveillance and response capacity (69.83%), medical waste management system (57.12%) and infrastructure compliance (54.69%).the findings of this study which is comparable to those of other studies in similar settings validates the perception that Infection Prevention and Control/Water, Sanitation, and Hygiene (IPC/WASH) capacity and readiness is inadequate in South Sudan. To scale up these core components, we recommend development and implementation of a comprehensive and long-term infection prevention and control strategic plan as part of the country\u2019s broader health sector recovery planning. Infection Prevention and Control (IPC) is aimed at preventing avoidable infection of patients and healthcare workers at health facility and community levels . It is aWater, Sanitation, and Hygiene (WASH) plays an essential role in IPC, particularly in healthcare settings. Infection prevention and control and WASH are two sides of the same coin; thus, safe WASH contributes to enhanced IPC, patient, and health workers\u00b4 safety, and vice versa . A robusSouth Sudan experiences recurrent incidents of emergencies regularly; a significant number of these emergencies are outbreaks of infectious diseases which often results in high morbidity and mortality. The country\u2019s southern parts sit in the ecological zone of the EVD and yellow fever, which is contiguous with the same zone in neighboring Democratic Republic of Congo (DRC) and Uganda . The couSouth Sudan scaled up IPC/WASH interventions due to the increasing threats of disease outbreaks, however, there is a paucity of reliable data on the status of IPC/WASH interventions in the country. This is a major constraint to evidence-based prioritization, planning, implementation and monitoring of IPC/WASH interventions. Thus, IPC interventions are often ad-hoc rather than proactive and systematic. Furthermore, the technical knowledge and capacities of national and international agencies involved in implementing IPC/WASH interventions in the country are often weak, affecting both the quantity and quality of interventions. Given the exposure of South Sudan to threats of cross border importation of EVD, recurrent outbreaks of infectious diseases and the ongoing COVID-19 outbreak, which require effective IPC/WASH interventions for prevention and control, the importance of having reliable data for evidence-based planning, implementation and monitoring of interventions cannot be overemphasized. An IPC/WASH study was thus conducted in selected health care facilities in the country.The objective of the study were to assess the readiness and capacity of the core components of IPC/WASH in health facilities to effectively respond to and contain potential outbreaks of EVD and control the ongoing COVID-19 outbreak in the country and to establish baseline information for planning, implementation, supervision, monitoring, and evaluation of short- and long-term IPC/WASH interventions. The study also sought to raise awareness about and provide evidence for advocating for more investments in IPC/WASH in the country. In this research article, we present and discuss the key findings, conclusions, and recommendations of the study.Study design and sampling method: a descriptive cross-sectional study on the capacity and readiness of the core components of IPC/WASH to respond to infectious disease outbreaks was conducted in health facilities in six high-risk States of South Sudan from February 2020 to December 2021. The three Equatoria States were initially enrolled into the study in 2020. With the report of the first case of COVID-19 in the country on April 5, 2021 and subsequent declaration of an outbreak, three more States, namely, Western Bahr el Ghazal, Lakes and Jonglei, classified as high risk for both EVD and COVID-19 transmission, were enrolled into the study. A purposive sampling method was used to identify between 14 to 16 health facilities per State. Inclusion criteria were any operational health facility with permanent structures and at least two or more healthcare workers.Study setting: South Sudan, a country experiencing a chronic humanitarian crisis, is bordered by Uganda in the South, DRC in the South West, Central Africa Republic in the West, Sudan in the North, Ethiopia in the East and Kenya in the Southeast. These borders are porous with free population movements between the neighboring countries for economic and sociocultural reasons. The country has a 2021 population of 11.4 million and landmass of 619,745 km2 [(Annex 1) adapted from the WHO guidelines on core components of IPC programmes at the national and acute health care facility levels [Data collection: quantitative data was collected using a structured questionnaire y levels and Watey levels both of Data analyses: the data was cleaned, entered and analyzed with Microsoft Excel software. Twelve indicators identified based on expert consensus were analyzed . The aveEthical clearance and approval: administrative clearance for this study was provided by the Ministry of Health of South Sudan. World Health Organization provided the ethical clearance (WHO e-Pub no: ePub-IP-00331783-EC).One hundred and fifty-one (151) health facilities with a total bed capacity of 3089 in six States were enrolled into the study. Almost half (49%) of the surveyed health facilities were PHCCs while the rest were PHCUs (25%) and hospitals (14.51%) . WesternThis study sought to establish the capacity and readiness of the core components of IPC/WASH in health facilities to prepare for and respond to disease outbreaks and enhance the safety of patients and health workers in South Sudan. To the best of our knowledge which is based on an exhaustive literature review, it is the first documented study that comprehensively assessed the status of IPC/WASH in health facilities in the country thus, its findings will form the baseline for planning, supervision, monitoring, and evaluation of IPC/WASH interventions moving forward. The findings showed a lack of readiness of most IPC/WASH components to prevent disease outbreaks except for IDSR capacity, infrastructure compliance and medical waste management system. There was a generally poor readiness of IPC/WASH committee structure, vector control and IPC/WASH supplies components across most of the study area. The study showed weak IPC readiness in the three Equatoria States which had the highest risk for EVD transmission.et al. in their study of IPC in eight conflict-affected countries [et al. and Fofanah et al. in Sierra Leone [et al. in Liberia [The general lack of readiness of most IPC/WASH components that were observed in this study is similar to the findings of Lowe ountries and thosra Leone ,24. Thisra Leone . Likewis Liberia .et al. and Forrester et al. in their assessment of IPC in Liberia [The high scores observed in the IDSR capacity, infrastructure compliance and medical waste management system components may be associated with ongoing health interventions before and during the study period. As part of efforts to respond to the chronic humanitarian crisis in the country, humanitarian partners led by WHO made massive investments in an Early Warning Alert and Response System (EWARS) to address the need for good quality and real-time data for timely detection and response to epidemics. The EWARS built a foundation for improving disease surveillance which resulted in significant improvements in IDSR capacity all over the country . Similar Liberia ,29.et al. which showed that low income countries were less likely to have functional IPC/WASH programmes [et al. in Sierra Leone [The IPC/WASH committee structure which requires minimum funding and efforts to implement was the weakest among all the IPC/WASH components which is corroborated by the findings of Tartari ogrammes . This fira Leone . Inadequet al. [The below average score observed in the vector control component across all the States points to gaps in the malaria control programme, which is primarily responsible for this component hence the need for strengthening the national malaria prevention and control programmes and ensuring greater coordination and collaboration between it and the the IPC/WASH programme at all levels. Although similar to the findings of another study conducted in Uganda , the belet al. .Limitations: the above findings should be interpreted within the context of three key limitations. Only six and seven health facilities were sampled in Jonglei and Lakes States due to access constraint. Given this small sample size, the findings in both States may not be a true reflection of the IPC/WASH readiness. The purposive sampling method used may have resulted in selection bias in which the more readily accessible and possibly the most functional and good performing health facilities were selected. Lastly, the involvement of some Ministry of Health IPC/WASH officials in the data collection process may have introduced interviewer bias. The data collectors may have focused on their predetermined perceptions which may affect their assessment of the various components of IPC/WASH. This bias was addressed by rigorous screening, selection, training and supervision of the data collectors and physical verification of the responses.The findings of this study which is comparable to those of other studies in similar settings validates the perception that IPC/WASH capacity and readiness is inadequate in South Sudan. This observation is confounded by the fact that the massive IPC/WASH investments made during the EVD preparedness programme of 2018 to 2020 and the ongoing COVID-19 response programme seem not to have yielded the anticipated outcomes. The inadequate capacity and readiness of the IPC/WASH programme observed in this study are mainly due to the chronically weak health system, lack of a comprehensive national IPC/WASH strategy and inadequate knowledge and funding of IPC/WASH interventions in the country. Other factors include weak capacity for IPC/WASH planning, implementation, supervision, monitoring and evaluation in the country. Furthermore, most of the international IPC/WASH norms and standards may not be realistic in view of the peculiar context of South Sudan.Moving forward, we propose four main recommendations based on our findings. First, the results of this study should be used to develop and implement a long-term IPC/WASH strategic plan for the country as part of the broader health sector strategic, health system recovery and annual humanitarian response planning. This strategic plan should have a clear monitoring and evaluation framework based on the baseline established by this study and should be actualized through annual IPC/WASH operational plans. Second, the study results should be used to scale up advocacy and resources mobilization for IPC/WASH in the country. Third, international IPC/WASH norms, standards and guidelines should be adapted to suit the South Sudan context. For instance, it may be practically impossible to constitute IPC/WASH committees in every health facilities due to inadequate staffing hence the need to innovate. Fourth, establishment of national and State level platforms for IPC/WASH coordination is critical to coordinate and monitor progress.Infection prevention and control/water, sanitation, and hygiene (IPC/WASH) is a critical component of outbreak preparedness, response, prevention and control in humanitarian settings such as South Sudan;There is inadequate evidence-based information for the planning, implementation, supervision, monitoring and evaluation of IPC/WASH interventions in the country;Despite the exposure of the country to threats of disease outbreaks, the readiness of the IPC/WASH programme to adequately respond to these outbreaks is unknown.This study identifies the key gaps in the readiness and capacity of IPC/WASH programme in the country to prevent and control diseases outbreaks;The study further provides baseline information for future planning, supervision, monitoring and evaluation of IPC/WASH interventions at health facility level."}
+{"text": "The current ecosystem services of karst protected areas cannot fully enhance human well-being, and the value of eco-products cannot be effectively realized. Research on eco-products and ecological civilization is conducive to the regional sustainability. The results of a statistical analysis of 258 related articles indicate: (1) the number of published articles has increased rapidly after slow growth, indicating that this research field has become a research hotspot and has broad research prospects; (2) the research content mainly involves five aspects, such as eco-product supply, eco-product value realization, eco-industry, ecological civilization, and monitoring and evaluation; (3) the articles research area is mainly distributed in the karst areas with a fragile ecological environment in China and the eco-product value realization and ecological civilization pilot areas; (4) the research frontiers are revealed from four aspects of eco-product supply ability, eco-product value realization, the driving force of eco-product value realization on the formation of eco-industry, model and effectiveness of ecological civilization; (5) it is necessary to deepen the research on the improvement mechanism of eco-product supply capacity, the classification systems and value accounting standards of eco-products, the formation mechanism of eco-industries under ecological threshold constraints and the driving mechanism of eco-industry to ecological civilization. The 2030 Agenda for Sustainable Development, adopted at the 70th session of the United Nations General Assembly, marks the beginning of a new era for humanity to move toward a sustainable society . Ecologi2, accounting for about 15% of the land area [The distribution area of modern carbonate rocks in the world reaches 22 million kmand area , affectiand area ,14. Karsand area .In March 2022, the Convention on Biological Diversity (CBD) proposed to expand the coverage of protected areas under the global biodiversity framework, and it is planned that the total area of protected areas will reach 30% of the global land area by 2030 . The proThe construction of ecological civilization in karst protected areas is an important measure to protect the eco-environment of karst protected areas and enhance the well-being of karst communities. How to effectively realize the value of eco-products has become a hot issue of common concern for governments and scholars. The purpose of research on eco-product value realization is to solve the externality problem in supply and protect the functionality and integrity of ecosystems , and theScholars have three main understandings on the connotation of ecological products. The first view equates eco-products with ecosystem services, and believes that they are the well-being that natural ecosystems provide to humans ,21. The https://www.webofscience.com), Foreign Journal Resource Service System (http://fpd.juhe.com.cn/) and China National Knowledge Infrastructure (CNKI) (https://www.cnki.net/). The searching date was on 12 November 2021. To identify relevant studies, a search was conducted based on the platforms including Web of Science (WOS) , Linbo Zhang (5), Yihong Zhou (5), Weiming Li (5), Shuilin Qiu (4), Hongxing Zhang (4), Zhiyun Ouyang (4), Huiyi Yu (4), Shuzhong Gu (4) and Jinnan Wang (3). When calculating the number of published articles by authors, all authors in the articles were accounted regardless of the author\u2019s order.In 1990, ecological civilization was first systematically proposed in Ecological Awareness and Ecological Civilization . In 2005The contents of the articles are shown in We conducted an interpretation and analysis of the distribution of organizations by using the occurrence frequency of each institution of related articles as the basis, and then sorted them from high to low. The statistical results show that the studies are mainly distributed in the following three types of research institutions. (1) Institutions that have long been engaged in the related research on ecological civilization and sustainable economic development, and have good relevant research foundation and experience, such as: the Chinese Academy of Natural Resources Economics, Environmental Planning Institute of the Ministry of Ecology and Environment and Development Research Center of the State Council. (2) Institutions in finance and resources directly related to the subject of the research, such as Lanzhou University of Finance and Economics, Central University of Finance and Economics and Hebei University of Economics and Business. (3) Institutions in the areas where the national eco-product value realization mechanism pilots are located, such as: Shandong University, Zhejiang University and Lishui College. Moreover, senior colleges and universities with majors related to agriculture and forestry are also the main camp of research institution articles with related studies, such as China Agricultural University and Beijing Forestry University, Renmin University of China. In general, research foundation and experience, professional connection and geographical advantages are the main factors affecting the distribution of articles research institutions.The \u201cmeta-rule\u201d of territorial spatial planning is the preservation and appreciation of natural resources . At the Ecological design and product full-cycle environmental management have become important links in the research and development of eco-products. To quantitatively evaluate eco-product design, Ng proposedThe environmental cost in the process of economic development has caused a prominent contradiction between the supply and demand of eco-products. It is urgent for us to improve the ecological environment, increase the total supply of eco-products and enhance the supply capacity . The supThe core of expanding consumption demand of eco-products is to coordinately promote the whole of society to form ecological values, green lifestyles and green consumption models . The useThe calculation method of eco-product value usually adopts the calculation method of ecosystem service value, which is divided into two stages of functional volume accounting and monetary value volume accounting according to the studies by Daily et al. and Ouyang et al. ,38,39. UEcological banks such as forest banks, wetland banks and water banks are new platforms for value realization. These ecological banks can promote the capitalization and make eco-products become productive forces. So, they can change resources into assets. The operation process of ecological banks includes resource investigation, project planning, value evaluation, circulation reserve and operation . These eEco-products have diverse and complex characteristics, so the value realization paths are also different. The property rights of purely public eco-products (such as clean water) are common. The economic value of them, which is difficult to realize through market transactions, mainly relies on governmental paths. Value payments of them are in the form of transfer payments, ecological compensation and specEntering the era of ecological civilization, the classical division of labor among the three industries can no longer meet the needs of industrial development in the era of ecological civilization. Ye and Han proposedEco-resources must be fully relied on to realize ecological industrialization, and regional characteristics must be found to promote industrial ecologicalization . Both ecThe eco-industry chain of protected areas is the input\u2013output relationship of material, value and information. Based on the input\u2013output perspective of eco-products, the eco-industry chain structure model includes four links: the eco-product industry chain, the derivative industry chain, the product demand market and the supporting industry chain . The heaDue to the differences in natural and socio-economic resource endowments, the specific models and paths for ecological civilization vary from place to place. Bao believesThe development level of ecological civilization is usually measured by eco-efficiency , ecologiThe contradiction between the supply shortage of eco-products and the demand for high-quality eco-products has become increasingly prominent . It is uFrom the perspective of eco-product value formation, the biological and physical structure of the ecosystem and the process of material, energy and information flow form the ecosystem functional units. Each functional unit ensures the supply of ecological material products and ecological service products. Under certain conditions, when material products and service products of the ecosystem meet human needs, the monetization value assessment can be conducted. Coupled with the design of a reasonable transaction mechanism, the value of eco-products can be realized . TherefoKarst protected areas should analyze the particularity of consumers\u2019 demand for eco-products under the influence of karst culture on the premise of understanding the impact of karst fragmented landscape pattern and dual structure on ecosystem functions, and then clarify the mechanism for improving the supply capacity of karst eco-protection products.Scholars have different views on the concept and classification of eco-products. Due to the differences in the concept of eco-products, the classification systems and value accounting standards of eco-products are also different, which directly affects the accuracy and comparability of the value accounting, and hinders the process of value realization. Many scholars directly use Gross Ecosystem Product (GEP) to calculate the value of eco-products, and include agricultural products, forestry products, animal husbandry products and fishery products into eco-products ,56. GEP With rapid economic and social development, many protected areas are facing the dual pressure of eco-protection and economic development. Eco-industries give full play to the advantages of natural resources and economic resources have strong survival, expansion and competitiveness. It is necessary to establish a coupling model between ecological carrying capacity and eco-industries, and clarify the interaction between the two. The ecological control mechanism for the formation and optimization of eco-industries is also important. The first is to analyze the unique attributes of karst protected areas, improve the accounting indicators and methods of GEP and calculate the functional and monetary value of karst eco-products. The second is to collect and optimize the fragmented management rights and use rights of eco-resources, expand the paths for value realization and explore the value-added mechanism of eco-products. The third is to build trading systems including eco-products certification system, clarify the driving factors for the formation of eco-industries, optimize the industrial structure and clarify the formation mechanism of the eco-industries.In the critical period when human society is entering the ecological epoch and realizing the improvement of ecological environment quality from quantitative change to qualitative change, the important position of eco-industries in strongly promoting ecological civilization is becoming increasingly more prominent . Due to For example, based on ecological industrialization of karst reserves and industry ecologicalization of buffer zones, the driving mechanism for ecological industries extension on the eco-economic system is to be explored. Based on eco-cultural gene mapping, eco-brand culture shaping and ecological value enhancement, the driving mechanism for ecological culture inheritance on the eco-cultural system is to be elucidated. The driving mechanism for the multi-subject participation of eco-industry management on the eco-responsibility system is to be revealed. The driving mechanism for trade-offs, synergies and compensation of eco-industrial benefit distribution to the eco-system is to be clarified. The inner logic for the five systems of ecological civilization is to be analyzed, the driving framework for eco-industries to the eco-security system can be conducted and the driving mechanism for eco-pattern formation to the eco-security system can be proposed.In this paper, we conducted a systematic literature review by analyzing 258 articles retrieved from the Web of Science, CNKI and Foreign Journal Resource Service System of Guizhou Normal University Library. The main conclusions are as follows: (1) studies on eco-protection product value realization and ecological civilization are increasing rapidly, showing a broad research prospect; (2) among the studies on eco-product supply, value realization, eco-industry, ecological civilization and monitoring and evaluation, the studies on eco-product value realization are most common, mainly focusing on mechanisms and paths for value realization; (3) the related research has mainly been conducted in China. After analyzing the main developments and landmark achievements, the paper proposed four scientific issues to be addressed.The reasons for more literature written in the Chinese language than in English may be as follows: (1) the concept of ecological products has been put forward in China by the Chinese, and some pilot projects in China have formed models that are worth learning from; (2) international scholars use the concept of ecosystem services more than ecological products. The eco-products related academic research is still in the exploratory stage. Some scholars even confuse the concepts of eco-products and ecosystem service, believing that the two are the same.In fact, the two concepts are different. Ecosystem service has been widely studied internationally. The concept of eco-products was proposed based on ecosystem service, but is an extension to it. Ecosystem services emphasize the benefits of natural ecosystems to humans, while eco-products emphasize the human\u2013nature life community. Ecosystem service value emphasizes the value of ecology and arouses the awareness of human beings to protect nature and protect ecology. The value of eco-products emphasizes the value of products and services jointly created by man and nature, and emphasizes the value created by the behavior of human beings to protect and restore ecology.The future directions of eco-products and ecological civilization can be conducted based on the following aspects: (1) the mechanism of improving the supply capacity of eco-products based on eco-products (ecosystem structure and process) and the ecological market (consumer demand); (2) the classification systems and value accounting standards of eco-products; (3) the formation mechanism for ecological industries under the constraints of ecological thresholds based on the carrying capacity of ecosystems; (4) the driving mechanism for eco-industries on ecological civilization. These future research topics are especially suitable for protected areas, such as natural world heritage, geoparks, nature reserves and scenic spots, due to the high-grade eco-products in these areas.Through the study of the characteristics and supply of the ecosystem, the attributes of eco-products, the mechanism for improving supply capacity and the mechanism for value realization are clarified. The industrialization of eco-products produces eco-industries, which directly drives the construction of the eco-economic system and eco-cultural system, and then promotes the construction of the eco-institutional system and eco-responsibility system, thereby building the eco-security system and realizing the goal of ecological civilization.Ecological civilization acts on ecosystem supply through ecological protection and ecological restoration, and acts on ecosystem demand through ecological demand expansion. Through research on the formation mechanism for the eco-industry and the driving mechanism for eco-industry to ecological civilization, the model and paths of ecological civilization based on ecological protection can be conducted to provide the basis for the construction of ecological civilization and sustainability in karst protected areas."}
+{"text": "This editorial sets the scene for our Special Issue on the growing problem of sedentary behavior and physical inactivity in the Asia-Pacific region. In many societies, more than 40% of the adult population and growing numbers of children are insufficiently physically active to safeguard their health. This is contributing to high rates of cardiovascular disease, obesity, and other deleterious health outcomes across the region. The Asia-Pacific is heterogeneous and complex, with diverse social, cultural, and environmental barriers that affect intentions and opportunities for regular physical activity. Recently, the problem has been compounded by the acceleration of population aging, the worsening effects of anthropogenic climate change, and the ongoing COVID-19 pandemic. Without strong leadership, enduring funding support, and innovative interventions that cut across policy and society, we may yet be facing a century of unmitigated expansion of morbidity across the Asia-Pacific. Many adults and children across the Asia-Pacific region are not sufficiently physically active to support their health ,2. This Diverse factors are conspiring to reduce opportunity, time, and motivation for physical activity across the Asia-Pacific region. These include lack of appropriate and consistent infrastructure, inequities in access to sports facilities, poor work-life balance, changing modes of learning and leisure, COVID-19 pandemic restrictions, increasing risk aversion, and others ,12. At tThis Special Issue of the International Journal of Environmental Research and Public Health brings together cutting-edge research that explores a diversity of topics related to inactivity in the Asia-Pacific. The carefully curated selection includes manuscripts concerning reductions in children\u2019s play, later life activity declines, the rise of metabolic disease risk factors, unequal distribution of behavioral impacts associated with the ongoing COVID-19 pandemic, and other thought-provoking contributions. It is hoped that this Special Issue will inform ongoing debate and stimulate new research, policy, and interventions to promote higher levels of activity across the life course in this rapidly changing region.The Asia-Pacific region has several geographical definitions, which typically comprise over 50 nations across Oceania and the Pacific, South and South-east Asia, North-east Asia, and Central Asia. This region is arguably the most populous, rapidly aging, culturally diverse, and economically disparate area of the globe . This exConsiderable discrepancies have been reported in the measurement of physical activity across the Asia-Pacific region. This may be due to a lack of standardized measurement, which has been well documented in largescale review studies of regional data . Indeed,Mortality and morbidity data across the region also provide indirect evidence of deleterious lifestyle behaviors. For example, despite being highly preventable cardiovascular diseases (CVD) remain the leading cause of death across the region . PacificThe regional problem of inactivity is potentially influenced by the mega-trends of population aging and anthropogenic climate change, which will define health and behavioral outcomes in many societies over the 21st century. Population aging refers to a demographic transition from a younger to an older age structure whereby growth in older adult cohorts significantly outpaces changes among cohorts of children and younger adults due to long-term reductions in fertility and increases in longevity . Across Beyond population changes, the progression of anthropogenic climate change is also likely to affect opportunities for physical activity at a population level. Anthropogenic climate change refers to long-term changes in temperature and weather patterns linked to human industrial activities and the burning of fossil fuels . The resThe ongoing COVID-19 pandemic has added to the challenge of regional inactivity in several ways. Enforced lockdowns, quarantine and self-isolation, home-based and online modes of work and learning, social distancing, cancellation of sport and group exercise, and the permanent closure of businesses serving recreational physical activity needs are some of the ways in which the pandemic has altered the regular behavior of children and adults across the region. At the time of writing, the world is entering the third year of the pandemic and a seventh wave of infection with no signs of abatement despite the wide availability of relatively effective vaccines and booster shots. The historic and lingering nature of this pandemic is leading to long-term changes in physical activity patterns at a population level. This has been shown in cross-national studies using objective activity (step count) data collected from smartphone accelerometry and GPS data . Such stPersistently high levels of physical inactivity in the Asia-Pacific region portend poorly for the management of obesity, cardiovascular disease, and other deleterious health conditions in the coming decades. Population aging, climate change, and the ongoing COVID-19 pandemic are adding to the current crisis of inactivity with no near-term solutions in sight for these emerging problems. In order to tackle this complex issue, interventions at multiple levels will be required, along with strong government leadership and enduring funding commitments. International and national guidelines for physical activity have been clearly established for decades based on a robust evidence base , and theThree areas for potential action that hold some promise for arresting activity declines include a renewed focus on school-based physical education, community interventions led by health professionals, and urban environmental remediation strategies. Across the Asia-Pacific, physical education programs that were once a staple of school and university life are being reduced or replaced with academic subjects at an alarming rate . The val"}
+{"text": "As an early warning strategy for coronavirus disease 2019 (COVID-19), environmental detection of severe acute respiratory syndrome coronavirus 2 (SARS-CoV-2) in wastewater was integrated into pandemic responses in Australia, Germany, New Zealand, the United Kingdom of Great Britain and Northern Ireland, and the United States of America. is a pervasive global health concern, complicating treatment of infectious diseases and routine medical procedures. The Philippines has experienced increasing numbers of infections resistant to specific antibiotic combinations, for example, carbapenem resistance in New molecular diagnostic laboratories established for the detection of SARS-CoV-2 in the Philippines could be used for other emerging infectious diseases and, thus, contribute to improved resilience during future epidemics. This article discusses how the strengthened monitoring and surveillance capacity developed for SARS-CoV-2 in the Philippines provides opportunities for environmental surveillance of emerging infectious diseases and AMR.Environmental surveillance, specifically WWS, could be used as an adjunct to clinical and laboratory diagnosis of individuals for the detection of local outbreaks. Similar to clinical testing, WWS utilizes reverse transcription-quantitative polymerase chain reaction (RT-qPCR). .It is possible for WWS to detect and analyse chemical or biological compounds to understand the health status of communities. (The Philippines has recently increased its molecular laboratory testing capacity for SARS-CoV-2. The number of public and private sector laboratories with the ability to detect SARS-CoV-2 using polymerase chain reaction (PCR) increased from one in the first quarter of 2020 to 247 by the end of April 2022. , with RITM, can develop, implement and study the cost\u2013effectiveness of multidisciplinary WWS in the response to emerging infectious diseases.Bringing Filipino institutions and multidisciplinary professionals together with experience in environmental and clinical surveillance could be a starting point for a national One Health integrated surveillance system where clinical and environmental samples from human health systems, animal health systems, food systems and the environment can be analysed and correlated. This system could inform hygiene, sanitation and infection prevention strategies to reduce the risk of spreading AMR and infectious disease outbreaks of pandemic potential. A One Health integrated surveillance system could increase its reach by building on the growing capacity of Filipino medical technologists in the use of RT-qPCR as they handle more samples due to the surge of COVID-19 cases. Capacity building could also be supplemented by online training from experienced global researchers through today\u2019s communication technology. The Philippine Interagency Committee on Antimicrobial Resistance (ICAMR), established in 2014 and comprising the DOH, Department of Agriculture, Department of Science and Technology, Department of Interior and Local Government, and Department of Trade and Industry, could oversee the One Health integrated surveillance system, as the committee is already strengthening surveillance and laboratory capacity for AMR. (As epidemics continue to affect the Philippines, improved preparedness, response and resilience to emerging infectious diseases including AMR could be supplemented by a One Health integrated surveillance system. To implement such a system, the country would need to develop capacity in environmental surveillance, including WWS, making use of existing infrastructure and expertise while exploring possibilities for collaboration with global experts and international partners. National agencies and committees, such as the DOH, RITM and ICAMR, would have to take on responsibility for overseeing and leading this initiative. A multidisciplinary approach and the identification of relevant Philippine institutional partners would be needed to sustain this initiative and prepare for emerging infectious diseases and chronic health-system challenges."}
+{"text": "The utilization of crop straw biomass resources is highly emphasized by governments and academia in recent decades. Based on the core databases of the literature in China National Knowledge Infrastructure (CNKI) academic journals, CiteSpace software is used to analyze and process the hotspots, and this study proposed the primary coverage and evolutionary trends of research on the utilization of crop straw resources. The thesis proposes the research development trend for improving the institutional mechanism of the utilization of crop straw resources, strengthening technology research and development, exploring the economic model of green cycle agriculture, accelerating the construction of the industrial system, and designing new paths of resource utilization in multiple ways, which helps estimate the development trend of the utilization of crop straw resources and provide inspiration and direction for future research and practices. Straw feed processing methods mainly include straw bulking, ammonification, pellet feed, straw silage, straw compaction, and straw microstorage. The integration and optimization of the aforementioned technologies are effective means to promote the utilization of straw for feed. Technological progress is mainly achieved through the optimization of the main body, process, facilities, and auxiliary parts. .3) The SAt present, straw energy utilization modes mainly include straw to biogas, straw centralized gas supply, straw power generation, and straw solidification molding .The utilization of biomass to generate energy is an important source of energy in the future. There are various ways of energy utilization, but the utilization technology needs to be further explored. At present, the main modes of straw energy utilization include biogas production, straw-fired cogeneration, and densified corn stover briquetting fuel .4) Straw Raw Materialization and Base Materialization UtilizationPractice shows that the efficiency of straw-fired cogeneration is low while the cost is high . Current2 emissions and saving energy The systems and mechanisms should be improved for using crop straw as resources. Under the leadership of the government, professional teams were organized to conduct in-depth research; the policy obstacles in the utilization of crop straw as resources were clarified, and targeted policies about financial support, technical assistance, incentive system, and performance assessment for the utilization of crop straw as resources were formulated.2) Research on the resourcization technique of crop straw should be strengthened. The backward technology of straw recycling results in high production costs and small scale of straw-consuming enterprises. Strengthening the technical level of straw industrial utilization is the most important task at present.3) It is necessary to adhere to the concept of carbon peak and carbon neutrality to explore the green circular agricultural economic model. Governments should promote the recycling of crop straws, especially the economical and intensive utilization of straw resources, and explore the suitable mode of green agriculture and recycling agriculture.4) The construction of an industrial system should be accelerated for the utilization of crop straw resources. Countries all over the world, especially developed countries, should guide the exploration of diversified industrial utilization of crop straw, such as fertilizer, energy, feed, and raw material. The straw resource utilization industrial system should be constructed to get rid of crop straw resource utilization of small scale and low benefit predicament.5) The utilization paths of crop straw are designed in diverse ways. In view of the needs of rural revitalization, beautiful countryside construction, and territorial space planning in the new era, a diversified design of the crop straw resource utilization path is carried out so as to explore a low-carbon and high-efficient regional straw resource utilization path tailored to local conditions.The implementation of a series of national strategies such as new countryside construction, beautiful countryside construction, territorial space planning and rural revitalization, efficient utilization of resources, ecological environment protection, and high-quality economic development has become the theme of China\u2019s development. Based on the analysis of the current predicament and research progress of crop straw resource utilization, the authors assume that more attention should be paid to the following area:The raw data supporting the conclusions of this manuscript will be made available by the authors, without undue reservation, to any qualified researcher."}
+{"text": "Semiconductor heterostructures form the basis of modern electronics and optoelectronics, and the study of physical phenomena in them, along with the development of technological methods for their manufacture, is actively carried out all over the world to ensure progress in the output parameters of devices. The most important trends in the development of semiconductor heterostructures are both the development of new systems of materials and the continuous decrease in the size of active regions of various types of heterostructures, including superlattices, quantum wells, and quantum dots, down to the nanometer level, corresponding to the thickness of few monolayers and even less . Technological methods for growing heterostructures are constantly being improved, and along with the study of self-organized heterostructures (such as quantum dots), methods are being developed for obtaining structures with an ordered complex surface topology. An important role in achieving the desired properties of heterostructures and developing new technological methods is played by the development of various analytical methods for studying the structural, optical, and electrophysical properties of quantum-sized heterostructures. Seven articles of this Special Issue reflect almost all of the above areas of research on semiconductor heterostructures.In this Special Issue, Davydov et al. describe0.52Al0.48As/In0.53Ga0.47N quantum well structure with two quantum-confined electron states and two hole sub-bands. The properties of this structure were studied by measuring photoluminescence spectra in a wide temperature range (10\u2013300 K). The authors determined the energy position of localized states in such quantum wells using phenomenological analysis based on experimental measurements of the Fermi edge singularity and its analysis in terms of the line shape model with key physical parameters, such as the Fermi energy, the hole localization energy, and the band-to-band transition amplitude.In the next article, Ahn et al. consider2 islands were used by Mintairov et al. [Measurements of the magneto-photoluminescence spectra of single-electron quasi two-dimensional InP/GaInPv et al. to find The following articles of the Special Issue are devoted to solving various technological problems in the implementation of various semiconductor heterostructures for light-emitting devices and transistors.Novikov et al. describeThe problems of selective growth of InGaAs quantum wells on GaAs substrates by metalorganic chemical vapor deposition were analyzed by Shamakhov et al. . They co18 cm\u22123 can be achieved in the p-GaN/AlN-IL/AlGaN structure.Dai et al. describeIn the last article of this Special Issue , the autIn general, the Special Issue includes seven articles from different groups devoted to the study of the basic properties and technological peculiarities of various semiconductor heterostructures, including quantum wells, quantum dots, and superlattices, grown by metal\u2013organic vapor deposition or molecular beam epitaxy. These structures are designed to implement various devices, such as InGaAs semiconductor lasers, quantum electronics devices, high-power UVC emitters with electron beam pumping, Ge(Si) infra-red emitters, and various types of HEMT."}
+{"text": "For more than 40 years, under the leadership of four editors and two publishers, The International Journal of Aging and Human Development (IJAHD) has featured multidisciplinary scholarship related to aging processes and older adults. With the publication of eight issues a year, with over 800 pages of scientific content, the IJAHD places emphasis upon psychological and social studies of aging and the aged. However, the Journal also publishes research that integrates observations from other disciplines that illuminate the \"human\" side of gerontology. A more recent focus includes midlife development, as well. About half (47%) of the publications in the IJAHD are from international colleagues. This presentation will discuss tips for both international and US-based scholars for ensuring timely reviews and positive decisions for manuscript submissions, including such areas as key words, suggesting unbiased reviewers, formatting, writing mechanics, clearly-articulated methods, and a sound theoretical basis."}
+{"text": "Entering the twenty-first century, the centenary neurosurgery has entered the era of network neurosurgery, along with the development of brain research \u20133, the dNetwork neurosurgery is based on the topological characteristics of the brain networks, using multimodal intelligent neurological imaging and minimally invasive surgical techniques. In the process of diagnosing and treating neurological diseases, network neurosurgery can protect and remodel the patient\u2019s functional brain networks and thus improve the level of diagnosis and treatment of refractory neurological disorders. Network neurosurgery will be the nexus for translational research in the field of human brain science.In the early twentieth century, neurosurgery gradually became an independent clinical specialty by a deep understanding of brain neurophysiology and functional localization. The centenary history of neurosurgery can be divided into three stages: classical neurosurgery, microneurosurgery, and minimally invasive neurosurgery. The three dimensions of brain anatomy and cognitive discovery, leap development of biomedical imaging, and the update of surgical instruments are the driving force of the continuous development of neurosurgery.In the late nineteenth century, surgeons began to engage in the surgical treatment of intracranial tumors, brain abscesses, epilepsy, spinal cord compression, and trigeminal neuralgia. In 1870, Fritsch and Hitzig firstly proved the functional localization of the parietal cortex. Subsequently, Flechsig mapped the functional areas of movement, sensation, and vision in human brains and established the examination methods of the nervous system. The diagnostic techniques of pneumoencephalography (1917), cerebral angiography (1927), electroencephalogram (EEG) (1929), and other specialized methods detecting the location of intracranial lesions have laid the foundation for neurosurgery. In 1919, Cushing (1869\u20131939), a neurosurgeon, proposed and established the neurosurgery. During this stage, the neurosurgery solved the patients\u2019 increased intracranial pressure and neurological deficits caused by intracranial lesions.From the 1950s to the late twentieth century, the successive appearance of computerized tomography (CT), magnetic resonance imaging (MRI), and digital subtraction angiography (DSA) provided reliable imaging evidence for early detection and accurate localization of intracranial lesions. The surgical microscope and microsurgical instruments, such as high-speed cranial drill, controllable operating table and skull frame, automatic retractor, ultrasonic suction, and bipolar coagulation, solved the problems of lighting, narrow field, and hemostasis that interfered with the process of neurosurgery. The new procedure of microsurgery, especially the transcranial approach, can accurately remove the brain lesions while effectively protecting the normal brain structure.The minimally invasive neurosurgery was capable of early and accurate diagnosing neurological disorders and locating the functional areas based on modern diagnostics imaging. The neurosurgical equipment of navigation systems, neuro-endoscopy, cerebral blood flow, and electrophysiological monitoring have provided more reliable guarantees for the accurate detection of lesions and avoidance of neurological impairment during surgery. Endovascular interventional techniques and stereotactic radiosurgery have become new modalities for minimally invasive neurosurgery.Entering the twenty-first century, the research boom of brain science, the digitization of medical imaging, and the emergence of modern technology in hybrid surgery have promoted neurosurgery to the era of networks neurosurgery.The human brain is the most complex object in the known universe. Understanding the structure and function of the brain is the most challenging frontier scientific problem in the twenty-first century. Brain research has important clinical significance for the effective diagnosis and treatment of brain disorders. Brain science research reveals the theory of cerebral networks and promotes neurosurgery in the era of networks neurosurgery.Modern digital neuroimaging, such as functional MRI (fMRI), DSA, single photon emission computed tomography (SPECT), positron emission tomography (PET), and other multimodal neuroimaging technologies, has achieved the leap from anatomical neuroimaging to functional neuroimaging. The structural brain imaging and functional networks have laid a solid foundation for networks neurosurgery.The modern neurosurgical hybrid operating room is equipped with intraoperative MRI and cerebral angiography equipment, which provides real-time imaging data and thereby guides the operation. Intraoperative waken-up anesthesia, frameless stereotaxic robots, intraoperative neurophysiological monitoring (IONM), and other technologies have established a technological platform for networks neurosurgery.In the procedure of networks neurosurgery, the neural network and its relay station can be precisely positioned. The intraoperative resection of intracranial lesions and implantation of electrodes are accomplished with neuroengineering, nanotechnology, brain-computer interface, and other technologies. Networks neurosurgery not only treats brain tumors and neurovascular diseases but also opens new avenues for chronic pain , movement disorders , epilepsy, mental disorders, hearing impairment, vision loss, and other refractory neurological disorders.The vast majority of brain hubs in the human brain functional networks have only a few connectivities, while a few hubs have a great many connectivities, known as the key hubs of the brain networks. The structure and function of the networks will be seriously affected if the key hubs were damaged . ExploraThe blood supply and the structure of brain networks are strongly linked to functional connectivity \u201310. AlthRevascularization contributes to the recovery of brain functional networks in patients with ischemic stroke. Chronic cerebral hypoperfusion affects the structure and function of fiber tracts in adult patients with moyamoya disease (MMD) , and theThe prediction of recovery in brain network connectivity is available after the revascularization by brain network analysis, which may contribute to predicting the selection of surgical management. Prospectively, the preoperative evaluation will no longer be limited to the degree of ischemia in the management of cerebrovascular diseases. The surgical indications and prediction of surgical outcomes are determined regarding the status of brain network connectivity.The generation and regulation of consciousness and cognition exist at the level of neural circuit. The cerebral cortex plays a central role in consciousness and cognitive functions. There may be complex neuronal subsets in the single brain region. Central circuit is the core circuit that generates, maintains, and regulates the consciousness. The core structure of central thalamus is a key target for deep brain stimulation (DBS) in consciousness disorders. The functional connectivity and neural oscillatory characteristics of the central thalamocortical circuit are strongly associated with loss and recovery of consciousness. Different frequencies of electrical stimulation can awaken the state of loss of consciousness. Therefore, it is a key way to resolve individual differences, increase the rate of awakening, and shorten the awakening duration, by developing an adaptive approach of closed-loop neuromodulation based on the regulatory mechanisms and theories and forming an effective clinical practice for DBS awakening in consciousness disorders. Besides, it provides novel ideas for analyzing the \u201cPrinciples of Brain Cognition and Neural Mechanisms of Consciousness.\u201dBy directly measuring the pathological brain activity and providing adjustable stimulation, DBS is feasible to treat neurological and psychiatric disorders related to abnormal circuit function. The brain electrodes and pacemaker , 16, whiBrain-computer interface (BCI) establishes a new communication and control channel between the brain and the external environment that is independent of peripheral nerves and muscles. Thus, it is practicable to accomplish the direct interaction of the brain and external devices. BCI can be used as an auxiliary communication and control method for patients with severe movement disorders. By utilizing the signals of the motor cortex, patients can precisely control the external robotic arm and manipulator and restore motor dysfunction. Obtaining and analyzing the EEG signals of patients with chronic consciousness disorders through BCI equipment, the diagnosis and assessment, prognosis evaluation, and even communication of consciousness disorders can be achieved. Further clinical research on neurodegenerative diseases is warranted.In the twenty-first century, brain research has advanced by leaps and bounds, targeting the network neurosurgery. Therefore, actively and rationally constructing the new discipline is an arduous task for the neurosurgery community ."}
+{"text": "The National Institutes of Health\u2019s Asian American, Native Hawaiian and Pacific Islander Health Scientific Interest Group (NIH AANHPI-HSIG) provides a viewpoint on developing approaches to enhance research on health and wellbeing for Asian American, Native Hawaiian, and Pacific Islander ethnic populations, in order to advance racial equity amongst such populations. Asian American (AA), Native Hawaiian and Pacific Islander (NHPI) populations are highly heterogeneous racial/ethnic groups with diverse health disparity concerns including hepatitis B and chronic liver disease, diabetes without obesity, various types of cancer, and stroke etc. , 2. AA aAsian American, Native Hawaiian, Pacific Islander (AA and NHPI)\u201d to describe the populations in an Executive Order (14031) on May 28, 2021, which reinstated and reinvigorated the White House Initiative (WHIAANHPI) on improving the quality of life and opportunities to participate in federal programs for AAPI proclaimed in an earlier Executive Order (13125) on June 7, 1999 [The National Institutes of Health Asian American Pacific Islander Health Scientific Interest Group (NIH AAPI-HSIG) was established in April 2021 with approval from Dr. Michael M. Gottesman, the NIH Deputy Director for Intramural Research . The groe Order 1031 on Marder 1312 on June In just over 1 year, the NIH AANHPI-HSIG has initiated several projects to integrate NIH-wide efforts to enhance knowledge and awareness of health disparity and assess the research needs for AA and NHPI populations , 6. We hMental health issue facing the AA and NHPI community is another important topic that was discussed at the 1st NIH AANHPI Mental Health and Well-Being Seminar Series hosted by the NIH AANHPI-HSIG . As partThrough these initiatives we have recognized that in order to advance health equity, more research on health disparities specific for the AA and NHPI racial/ethnic subgroup is needed. To address this need, a NIH-wide AANHPI Research Priority Recommendation Working Group has been formed. The Working Group led the effort to publish the first NIH Request for Information (RFI) (NOT-CA-22-047) specifically focusing on actionable priority recommendations to improve research on health and well-being of AA and NHPI populations in line with the White House [To celebrate the AANHPI-Heritage Month, AANHPI-HSIG successfully organized its inaugural AA and NHPI Health Research Conference on May 4\u20135th, 2022, with a central theme of \u201cFrom Mechanism to Translational Research: Improving the Health and Therapeutic Outcome for AA and NHPI Populations\u201d . Dr. LawAll of Us research project using intentional community engagement efforts and the multilevel AANHPI engagement strategy, and the New York Genome Center\u2019s Polyethnic-1000 program that enrolls ethnically diverse and underserved cancer populations in New York City were highlighted. Participants of the conference also stressed the need of data disaggregation for AA and NHPI subgroups, discussed the language accessibility problem for AA and NHPI populations in seeking medical care or involving in clinical research, and addressed the effect of anti-Asian hate/discrimination on health. The conference not only enhanced the awareness of AA and NHPI heritage and highlighted scientific achievements in AA and NHPI health-related research, but also informed NIH leadership of the current research needs and priorities.The two-day conference, which included participants from across the HHS, had for scientific sessions on Cancer; Diabetes and Other Diseases; Other Health Conditions; Mental Health, Community Health Care, Caregiver and Indigenous Medicine, respectively; each followed by a Panel Discussion and Summary session . Many isIn summary, advancing AA and NHPI health research is an integral part of the NIH\u2018s charge on minority health and health disparities research. The NIH AANHPI-HSIG can contribute to the WHIAANHPI on advancing equity, justice, and opportunity for AA and NHPI communities in the United States in many areas, including data disaggregation for AA and NHPI subgroups, language access, promoting inclusion, capacity building and community engagement, through enhancing research focusing on the health and well-being of AA and NHPI populations . The res"}
+{"text": "This presentation highlights the development of Age-Friendly care interactive modules to prepare the future healthcare workforce to care for older adults in Age-Friendly Health Systems. To date, there is a gap in the educational preparation of nurses, advanced practice nurses, and other health professionals to work in Age-Friendly Health Systems upon entry into practice. This project, funded by a faculty innovation grant at Seton Hall University, provides undergraduate and graduate nursing and interprofessional students with the background knowledge to care for older adults in Age-Friendly Health Systems. The aim of this project was to develop five interactive modules to embed in undergraduate and graduate nursing and interprofessional curricula focusing on the provision of care to older adults using the evidence-based 4Ms Framework: What Matters, Medication, Mentation, and Mobility. Faculty collaborated with instructional designers in development of the modules using Articulate 360 to embed them in curricula. The first module focuses on the background of the Age-Friendly Health Systems movement, how health systems may become an Age-Friendly Health System, and the evidence for the 4Ms Framework. The second module focuses on assessment and act on strategies related to What Matters to older adults including advance care planning strategies. The third module covers crucial information related to Medication such as avoiding potentially inappropriate medications, deprescribing, and antibiotic stewardship. The fourth module focuses on Mentation and covers assessment and act on strategies for depression, delirium, and dementia. The fifth module focuses on Mobility such as promoting mobility and decreasing fall risk."}
+{"text": "Yao et al.) Emerging diseases and health issues, lifestyle and diet changes urge us in seeking novel bioactive substances and formulations from plant sources (The investigation on plants that are both medicinal and edible is rooted in different ethno-medicinal systems ( sources . RelatedAlong with the strong increase in the publication of medicine food homology study , researcIn this Research Topic, we have provided a discussion forum for the community, and received 47 full length article submissions, with 17 papers published, which covers cultivation and pharmacognosy of medicinal and food plants, ethno-pharmacological practices and pharmacological investigation, food function and safety evaluation of selected plants; identification of novel pharmacological and biological effects of plants, strategy on the development of pharmaceutical, nutraceuticals and functional products, reviews as well as general methodology and research advancement , 2.This Research Topic provides a platform and community space for sharing and enlightening the state-of-art discovery and scientific understanding in edible and medicinal plants . Efforts"}
+{"text": "A sustainable approach in asphalt pavement engineering should focus on materials, design methods, and technologies that can contribute to minimizing environmental impacts through a reduction in energy consumption and natural resources, while ensuring that all performance standards and requirements are met.The decision-making process should be appropriately updated by adopting suitable tools and methodologies, such as LCCA and LCA, to measure the potential economic and environmental impacts associated with the adoption of sustainable solutions.This Special Issue includes recent and original studies that address the design and construction of sustainable asphalt pavements performed by several researchers belonging to different universities. The scope of the presented studies is extensive and multidisciplinary, covering many aspects related to (i) recycled and renewable materials for the production of asphalt concrete, (ii) low-energy and low-emission technologies, (iii) long-life design solutions, and (iv) green urban development.(i) Recycled and renewable materials in asphalt pavements may be employed for the modification of asphalt binders and/or for the full or partial replacement of natural aggregates and mineral filler in asphalt mixtures ,2. In th(ii) Cold-mix asphalt technologies, including water-foamed asphalt and emulsion-based mixtures, have been extensively used for their energy-saving and emission-reducing features. The study of focused (iii) Durability and performance life are recognized to be critical factors in the sustainability of road pavements . The SpeComposite admixtures of lignin and glass fibers have been successfully used as additives to improve the performance of asphalt mixtures, in terms of moisture susceptibility and thermal cracking resistance . The env(iv) The construction of a sponge city is a major green innovation that can be used implement the concept of sustainable development. The study of addresseThe editors give special thanks to the authors and the editorial team of Materials for the collaborative and peer-review process. We hope you enjoy reading this Special Issue and find new concepts for future and present research."}
+{"text": "Sexual and reproductive health (SRH) among young people, aged 10\u201324 years, in Sub-Saharan Africa (SSA) remains a major public health challenge, with evident gaps in access to SRH services and increased risk of poor SRH , 4. HoweTemin et al. open this collection by exploring HIV-related risk determinants from the perspective of foreign migrant adolescent girls and young women in South Africa who participated in an evidence-based female-focused intervention\u2013\u201cGirls Club Project.\u201d They provide recommendations for more inclusive HIV prevention programming that reaches foreign migrant adolescent girls and young women. With a similar focus on risk factors, Envuladu et al. assessed the covariates of sexual activity and consistent condom use among adolescents in Plateau State, Nigeria. Their results suggest a need for gender-tailored interventions. Taking a broader perspective, tailored interventions that are contextually appropriate can enhance the acceptability and adoption of SRH interventions.Yuya et al. assessed the level and predictors of knowledge of reproductive rights among Haramaya University students in Ethiopia. The study revealed that lack of awareness/information on reproductive health issues and absence of reproductive health services utilization were important predictors of participants' knowledge of reproductive rights. This warrants further investigations on whether knowledge of reproductive rights can promote uptake of sexual and reproductive health services. Lawrence et al. shared the work undertaken by the team as part of the Public Health Adolescent Services Evaluation, which is a national evaluation of adolescent HIV services in Kenya. The evaluation revealed a preference for adolescent autonomy in seeking sexual and reproductive health services and contacting healthcare workers for sexual and reproductive health information. This study confirms the value of adolescent and youth-friendly health services and the need for contextually appropriate strategies to enhance uptake and adoption.Two authors highlight knowledge and uptake of Youth Sexual and Reproductive Health services with helpful insights. Bridging the Research-to-Practice gap, three articles highlight the application of implementation science in young people's sexual and reproductive health. Mgoli Mwale et al. evaluate the sustainability of the Community Score Card to improve Adolescent Sexual and Reproductive Health in Ntcheu, Malawi. Their work provides compelling evidence of the importance of agents and context in the sustainability of interventions. They specify real-world facilitators, barriers, and opportunities in promoting sustainability within resource-constrained settings. Libous et al. offer a new generalizable approach to guide intervention adaptation that builds on existing infrastructure, culture, and resources to inform implementation strategies. Their work focused on the adaptation of a trauma-informed cognitive behavioral therapy intervention addressing mental and sexual health for adolescents and young adults living with HIV guided by the ADAPT-ITT framework. Obiezu-Umeh et al. presented compelling findings from a systematic review of 23 articles on the implementation outcomes and implementation strategies of youth-friendly sexual and reproductive health services in sub-Saharan Africa. The authors underlined the need to develop rigorous studies further to understand better which and what combination of implementation strategies would lead to more gain in promoting the uptake and sustainment of youth-friendly sexual and reproductive health services. These articles provide concrete suggestions for community and young people's engagement in intervention development, adaptation, and implementation processes, to foster co-creation and ownership within communities. These are critical for the adoption, scale-up, and sustainability of interventions as we seek to bridge the research-to-practice gap.Echoing the call for Individually, these contributions address an array of critical issues. Collectively, they provide momentum on the importance of contextually appropriate, youth-friendly, and youth-engaged approaches to enhance the uptake, scale-up, and sustainability of young people's SRH interventions in SSA. We acknowledge that articles presented in this collection are not exhaustive of the work in the field. Nevertheless, the findings, insights, and perspectives discussed in each paper could inspire new research and interventions.This special issue continues to highlight substantial structural, social, and individual barriers that limit the uptake of SRH services. Nonetheless, a few articles highlight the importance of active community engagement and active youth participation to circumvent these barriers. Community engagement and youth participation can enhance the uptake, appropriateness, and sustainability of SRH intervention and can help move us closer to the goal of bridging the research-to-practice gap in promoting SRH among young people in SSA. Participatory approaches such as crowdsourcing that involve community members in solving a problem and then publicly sharing innovative solutions could provide an opportunity to co-create with young people and community members , 7. ThisAll authors listed have made a substantial, direct, and intellectual contribution to the work and approved it for publication.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest.All claims expressed in this article are solely those of the authors and do not necessarily represent those of their affiliated organizations, or those of the publisher, the editors and the reviewers. Any product that may be evaluated in this article, or claim that may be made by its manufacturer, is not guaranteed or endorsed by the publisher."}
+{"text": "Original Research, one Hypothesis and Theory, and one Perspective have addressed this issue by studying possible microbiota involvement and modulation in the case of psoriasis, epilepsy, depression, and a possible correlation with environmental exposure to glyphosate and glyphosate-based herbicides with neuropsychiatric conditions. In all these publications, diet, probiotics, and lifestyle changes represent also valid support for ameliorating health conditions.In the last decade, the gut-skin-brain axis has emerged as a research field offering more and more evidence on the way foods and intestinal microbiota can affect the development of intestinal/skin diseases , and neuSun et al. considered two physiological body barriers, i.e. skin and gut, and investigated the relationship between intestinal microbiota and psoriasis development with an epidemiologic analysis and an experimental approach. In psoriatic patients, the incidence of gastrointestinal discomfort symptoms was significantly higher than in healthy subjects and the gut microbiota was improved when patients received therapy of oral acitretin and narrow-band ultraviolet B, with an evident decrease in their psoriasis area and severity index (PASI) score compared to untreated subjects. The transplantation of fecal microbiota from psoriatic patients or healthy controls into mice after the application of imiquimod cream confirmed that psoriatic microbes delayed recovery of psoriasiform dermatitis and induced a lesser decrease of IL-17A, a key proinflammatory psoriatic cytokine, thus validating the epidemiologic data. This study represents an excellent example of the translational integration of preclinical and clinical investigations and helps in better defining the complex association between dysbiosis and psoriasis with the final aim of developing microbiome-based therapeutic options for dermatologists.The original research by Wang et al. for epilepsy, a disease imposing low quality of life for millions of people. The hypothesis of a possible gut dysbiosis has been considered by the authors based on the published studies about the regulating role of bacteria in neuroinflammation and oxidative stress. Under this perspective, the administration of probiotics, Bifidobacterium and Lactobacillus strains, prebiotics, inulin, and synbiotics, the combination of bacteria and inulin, were administered to kainic acid-induced epileptic rats, and both clinical manifestations and biochemical markers of the supposed involved mechanisms were collected. This pre-clinical results obtained show a decreased frequency and duration of seizures, an extended latency period with a major effect due to synbiotics, together with an improvement in cognitive impairment. The biochemical markers of lipid peroxidation, DNA damage, diminished total antioxidant ability, inflammation, and the release of IL-1\u03b2, IL-6, and TNF-\u03b1, confirm the authors' hypothesis and pave the way for finding new therapeutic agents.The connection between the gut and brain has been investigated by Ghannoum et al. provide a Hypothesis and Theory contribution shedding light on the potential link between the gut microbiome and depression, exacerbated by the COVID-19 pandemic. The authors provided clinical evidence suggesting that integrative management of depression may also include microbiome modulation. Despite this issue deserves further data to be fully comprised, the possibility to help people to understand the causes of their mental problems and to avoid the use of antidepressant drugs, often without real positive effect or coupled with strong side effects and costs, is worth to be investigated.Perspective opinion made by Barnett et al., the reader enlightens by the descriptive evidence of how glyphosate, which was designed to combat threatening weeds competing for nutrients and resources for crops production, induces alterations of the gut microbiota diversity, associating with neuropsychiatric conditions like anxiety, depression, autism, and important maladies like Parkinson and Alzheimer's disease. The discussion of the topic walks through a narrative describing how sub-toxic exposure to glyphosate and glyphosate-based herbicides is reported to perturb the abundance of important species in the microbial intestinal biome, which include commensals like Lactobacillus spp., Bacteroides spp, Bifidobacterium spp., Butyricoccus spp., Clostridium spp., and members of the family Ruminococcaceae, among others. The changes in the abundance of these bacterial species are the results of their susceptibility to the antimicrobial properties of glyphosate and result in the reduction of important microbial metabolites many of which are neurotransmitters, necessary for mental health and wellbeing acting through the gut-brain-microbiome axis. On the other hand, there is a selection of glyphosate-resistant microbes with the potential to increase the production of pro-inflammatory cytokines and reactive oxygen species which may result in dysfunctional hypothalamic-pituitary-adrenal axis activation, with deleterious consequences in neuronal homeostasis. The authors finish with a discussion of the benefits that the use of glyphosate and glyphosate-resistant plants brought to crop production in the world, which permits us to understand the need for the development of alternative methods for weed control.In the In conclusion, the published works evidence that perturbations of the gut microbiota uncouple the function of the Gut-Skin-Brain Axis which is evidenced by the development of diseases in humans or its preclinical models. A full comprehension of the involved mechanism, like high oxidative stress, DNA damage, impaired cell signaling, and associated dysbiosis, will open the way to offer alternative healing methods to drugs but above all, the possibility to prevent the onset of the associated diseases through a correct lifestyle and diet; all in all with the ultimate goal to promote patient's health.AF wrote the introduction and the conclusion. All authors summarized the contributions and added comments to the cited papers. All authors approved the submitted version."}
+{"text": "Many existing and newly constructed bridges are made of reinforced and prestressed concrete. Advanced concrete materials play an increasingly important role in concrete bridges, facilitating the strengthening and repair of existing bridges, fast replacement solutions for parts of existing bridges, and for the design of novel challenging bridge projects. The development of advanced concrete materials and their structural applications is, thus, an important topic in the built environment.The articles presented in this Special Issue bring together research insights, practical applications, and discussions on how to develop better structural concrete materials for bridge engineering practices. Since articles were written both by materials scientists and bridge engineers, a wide view on the topic is presented.One example of an advanced structural concrete material is ultra-high-performance fiber-reinforced concrete (UHPFRC). With research on this topic having reached a high level of maturity, practical applications of this material are becoming increasingly more common. A key practical issue is related to the resulting fiber content, fiber orientation, and efficiency factor of the structural elements, particularly relevant for thin elements. This property determines the post-cracking tensile strength of the UHPFRC. In , the autAdvances in steel-fiber-reinforced concrete include the development of steel-fiber-reinforced expanded-shale lightweight concrete (SFRELC) . In partAnother example of an advanced structural concrete material is concrete with an MgO expansive agent and steel fibers added to the mix. This improved concrete mix was applFor the prefabrication industry, a better understanding of the structural behavior can result in the optimization of the resulting prefabricated elements. A topic of particular interest is the interface bond strength and anchorage performance of the steel reinforcement (ribbed and plain bars) in the prefabricated concrete. The experimental study of resultedFor existing bridges, the first challenge is often the proper assessment of the structure; the information is important for the evaluation of various possible solutions, such as for the strengthening of the structure. In , the autOn the topic of strengthening existing bridges, various advanced structural concrete materials are proposed. Experiments on reinforced concrete beams strengthened with textile-reinforced concrete (TRC) and fiber\u2013textile-reinforced concrete (F/TRC) showed the beneficial effects of this strengthening technique at the ultimate limit state, as well as in the serviceability limit state . A seconUHPFRC is also proposed for the strengthening of existing bridges . ExperimPolyvinyl alcohol fiber-reinforced engineering cementitious composites (PVA-ECCs) are proposed in another paper , where tAnother novel method for strengthening was proposed in , in whicUltimately, proposesMaterials, who helped handle the manuscripts of this Special Issue, as well as the journal staff, who provided expert assistance to the development of this Special Issue at every step of the way.These presented papers provide insight into the current state-of-the-art of advanced structural concrete materials in bridge applications, and show the way towards the practical application of these materials. I appreciate all author contributions and sincerely value the time and effort spent in preparing these articles. I would also like to thank all reviewers who contributed to this Special Issue for their time, effort, and valuable remarks to the articles. Finally, I would like to thank the academic editors of"}
+{"text": "A 28-year-old male farmer from the rural zone of Alagoas, seropositive for HIV and not adhering to antiretroviral therapy, was admitted to an infectious disease service in northeast Brazil with continuous fever, asthenia, cough with bloody expectoration, and loss of 20 kg in 30 days.2 93%, and whitish plaques on the tongue. Complementary tests revealed upper gastrointestinal bleeding on endoscopy; interstitial infiltrate, lymph node enlargement, and bronchial thickening on chest radiography; and visceromegaly on abdominal ultrasound. The laboratory profile revealed severe anemia and thrombocytopenia and mild leukocytosis , besides intracellular structures in neutrophils suggestive of Histoplasma capsulatum in the blood smear , with a high rate of morbidity and mortalityAs definitive diagnosis of histoplasmosis can be difficult and time-consuming, the need to expand access to other tests becomes relevant and may be useful in deciding the initiation of empirical therapy for histoplasmosis. Thus, in the present case description, we highlight the relevance of performing microscopic examination of peripheral blood smear, allowing direct viewing of the fungus and the final diagnosis of histoplasmosis."}
+{"text": "Chronic kidney disease (CKD) is a leading public health problem that affects a significant proportion of the population worldwide. It is a complex multifactorial disease and approximately 13% of the world population are affected by this disease . The numThe use of experimental models represents a valuable tool to understand the underlying pathophysiological mechanisms of kidney diseases and exploring novel therapeutic targets. Model organisms, in particular rats and mice, represent an invaluable resource for both fundamental and applied research, allowing prediction studies, modeling, and the identification of action mechanisms. Drug development requires tests on model organisms before the clinical trials and this makes these organisms essential for progress within the field.This Research Topic encompasses two research articles and two review articles. These articles introduced cutting-edge research on diabetic nephropathy (DN) and the role of cellular senescence in CKD. In addition, the role of extracellular vesicles (EVs) in acute kidney injury (AKI), CKD, DN and renal tumors has been discussed. However, drug/chemical-induced nephrotoxicity and other models of AKI were not discussed in these articles. The guest editors are pleased to present a compendium of these articles as follows:Hou et al., the investigators utilized the connectivity map (CMap) with renal tubulointerstitial transcriptomic profiles of biopsy-proven early- and late-stage DN, a leading cause of CKD, to identify novel treatment candidates. The therapeutic potential of the suggested candidate drugs was evaluated in vivo in streptozotocin-induced CD-1 mice, and in vitro utilizing HK-2 cells and immortalized bone marrow-derived macrophages (iBMDMs). CAY10603, a specific inhibitor of histone deacetylase 6 (HDAC6), was defined as a potential drug and the experimental findings showed its ameliorative effect on renal dysfunction, inflammatory cell infiltration, tubular injury and tubulointerstitial fibrosis in diabetic mice. These effects were associated with the inhibition of NLRP3 and pyroptosis as revealed by the studies on HK-2 cells and iBMDMs.In the research article by Wang et al. summarized and discussed the findings of the studies showing the effects of the active constituents of Rheum ribes on key signaling pathways implicated in the pathogenesis of renal fibrosis. The conducted analysis revealed the beneficial effects of Rheum ribes constituents against the development of renal fibrosis and their value as drug candidates.In another article, Zhao et al. summarized the common features and the interaction between CKD and renal senescence, and the therapeutic approaches, including senolytics, senomorphics, and immunomodulation. This review article highlighted the value of renal senescence as a promising target for therapeutic intervention of CKD.Etiology, pathological changes, phenotype, and outcome are among the similarities that renal senescence shares with CKD. Given these numerous similarities, is not clear whether renal senescence is a trigger or a consequence of CKD. In this review article, Xiang et al. summarized the latest studies showing the role of EVs in renal diseases and highlighted their value as therapeutic targets. EVs are cell-derived membrane structures released by most cells and play a role in cell-cell communication and as vehicles for information transmission. The association between EVs and renal diseases has been acknowledged. This review highlighted the updated progress in understanding the role of EVs in the progression of renal diseases and the possible therapeutic application of stem cell-derived EVs.The editors anticipate the published articles in this Research Topic to be of interest to the readers and expect researchers to benefit from achieving further progress in understanding the mechanisms underlying renal diseases and the development of novel therapeutics."}
+{"text": "In this paper, we propose a method to identify different varieties of raisins by combining near-infrared (NIR) spectroscopy and machine learning algorithms. The direct averaging of the spectra taken for each sample may reduce the experimental data and affect the extraction of spectral features, thus limiting the classification results, due to the different substances of grape skins and flesh. Therefore, this experiment proposes a method to fuse the spectral features of pulp and peel. In this experiment, principal component analysis (PCA) was used to extract baseline corrected features, and linear models of k-nearest neighbor (KNN) and linear discriminant analysis (LDA) and nonlinear models of back propagation (BP), support vector machine with genetic algorithm (GA-SVM), grid search-support vector machine (GS-SVM) and particle swarm optimization with support vector machine (PSO- SVM) coupling were used to classify. This paper compared the results of four experiments using only skin spectrum, only flesh spectrum, average spectrum of skin and flesh, and their spectral feature fusion. The experimental results showed that the accuracy and Macro-F1 score after spectral feature fusion were higher than the other three experiments, and GS-SVM had the highest accuracy and Macro-F1 score of 94.44%. The results showed that feature fusion can improve the performance of both linear and nonlinear models. This may provide a new strategy for acquiring spectral data and improving model performance in the future. The code is available at Raisins are rich in dietary fiber, vitamins, carotenoids and polyphenols . StudiesIn the existing studies, Mostafa et al. used raisins images combined with support vector machine (SVM) and linear discriminant analysis (LDA) to identify fifteen kinds of raisins, with the highest average accuracy of 69.78% and , respectively. In the GA algorithm, the ranges of C and g were within in skin spectra of the different varieties of raisins were more obvious than that of flesh spectra; the differences of characteristic peaks of fatty acids, amino acids and carbohydrates in flesh spectra were more obvious than that of skin spectra. Studies have shown that skin and flesh are more susceptible to climate and content of water in the external environment, and only recording spectral data on the skin will limit the model classification performance [In the experiment, the spectrum shows that the differences of characteristic peaks of lipids and phenols Click here for additional data file.S1 File(ZIP)Click here for additional data file."}
+{"text": "Dear Editor,A six-year-old female patient presented with hyperchromic confluent papules on the trunk and face , followiOn dermoscopy, the lesions were non-specific with a homogeneous brownish color and with structures similar to follicular crypts or openings .Figure 2Histopathological examination showed aBasaloid follicular hamartoma (BFH) consists of the proliferation of multifocal basaloid cells, with frequent connection to the epidermis.The main differential diagnosis of BFH is basal cell carcinoma (BCC). Both consist histopathologically of basaloid strands of cells in a fibrous stroma, but the BCC is not folliculocentric and can be seen in the interfollicular dermis.3Acquired BFH can show a linear pattern, following the lines of Blaschko - occurring due to mosaicism - or in a generalized form - commonly associated with autoimmune diseases.In the case described herein, BFH clones were distributed along the Blaschko lines, representing ectodermal development patterns, which is a rare distribution. When a somatic mutation or chromosomal nondisjunction occurs during embryogenesis, affecting an epidermal progenitor cell, the affected offspring cells proliferate and migrate along the lines of Blaschko.Currently, there is no standard treatment for BFH. Correct identification prevents patients from undergoing unnecessary surgery and also allows periodic monitoring to detect malignant transformations. Lesions that increase in size or change in appearance should be biopsied whenever detected. If associated with an autoimmune disease, treatment of the comorbidity may lead to the regression of the associated skin lesions.In summary, BFH is a rare type of benign skin tumor, with different presentations, which can be congenital or acquired. Its main differential diagnosis is basal cell carcinoma, and histopathology should be performed for differentiation. There is yet no standard treatment for this condition and, in most cases, it is not necessary.None declared.Gabriela Martins de Queiroz: Collection, analysis, and interpretation of data; design, planning, drafting and writing of the manuscript; critical review of the literature; critical review of the manuscript; approval of the final version of the manuscript.Tayla Cristina Lopes: Collection, analysis, and interpretation of data; design, planning, drafting and writing of the manuscript; critical review of the literature; critical review of the manuscript; approval of the final version of the manuscript.Maria Clara Dantas Valle Soares: Analysis and interpretation of data; drafting and writing of the manuscript; critical review of the literature; critical review of the manuscript; approval of the final version of the manuscript.Carlos Bruno Fernandes Lima: Analysis and interpretation of data, design and planning of the manuscript; critical review of the literature; critical review of the manuscript; approval of the final version of the manuscript.None declared."}
+{"text": "Alcohol withdrawal delirium is severe complication of alcohol withdrawal leading to high mortality. Early identification of severe course of psychosis and complications threatening the patient\u2019s life is the most important problem in the treatment of these patients.Under supervision were 690 men, dependent on alcohol, in the state of withdrawal with acute psychotic disorder ; the average age - , the average age of alcohol abuse - . The patients were examined in a dynamics after a re-hospitalization after 5-7 years. This allowed us to verify the differential diagnostic approach to acute psychotic disorders in a state of abandonment, to investigate the impact of chronic acute psychotic disorders on the course of alcohol dependence, including the formation of deficits.clinical, clinical and psychopathological, methods of quantified scales and mathematical statistics.There were estimated factors influencing the severity of alcohol withdrawal with delirium: total amount of alcohol consumed per week, drunken alcoholics, persistent alcohol abuse, social disadaptation, cognitive impairment, psychological disorders, reducing the quality of alcohol consumed, food pattern characterized total calorie mostly due to alcohol, life trajectory, severe or chronic somatic diseases, rate of progression of alcohol dependence.The severity of acute psychotic disorder in the state of alcohol withdrawal mostly depended situational factors such as the number of days of severe drinking before a psychotic disorder, the pattern of nutrition, the quality and quantity of alcohol consumed, the presence of acute somatic diseases.No significant relationships."}
+{"text": "Rhipicephalus appendiculatus Subolesin, and a cross-species-effective vaccine formulation. As the next step, a controlled vaccine field trial has been approved by Ugandan state regulatory authorities, the Uganda National Council for Science and Technology (UNCST) and the National Drug Authority (NDA), to evaluate the efficacy and effectiveness of the vaccine formulation for the control of cattle tick infestations under field conditions. The results of this trial may lead to the approval of the vaccine for application in Uganda to improve cattle health and production while reducing the use of acaricides.A collaboration program was established between the group of Health and Biotechnology (SaBio) of the IREC Institute of Game and Wildlife Research and the National Agricultural Research Organization of Uganda (NARO) for the development of vaccines for the control of cattle ticks in Uganda. Controlled pen trials identified a tick protective antigen, Ticks parasitize livestock and wild animals with a higher prevalence in the warm tropics and sub-tropics while humans are accidental hosts, with all at risk for tick-borne diseases . EconomiRhipicephalus appendiculatus), blue ticks (R. decoloratus), bont ticks (Amblyomma variegatum), and red ticks (R. evertsi) , where NTV is the number of adult female ticks in the vaccine-treated group, and NTC is the number of adult female ticks in the control (adjuvant-only-treated) group.The candidate vaccine effect on the tick weight (DW) = 100[1 \u2212 (WTV/WTC)], where WTV is the average adult female tick weight in the vaccinated group, and WTC is the average adult female tick weight in the control (adjuvant-only-treated) group.The candidate vaccine effect on oviposition (DO) = 100[1 \u2212 (PATV/PATC)], where PATV is the average weight of the eggs per survived tick in the vaccine-treated group, and PATC is the average weight of the eggs per survived tick in the control (adjuvant-only-treated) group.The candidate vaccine effect on egg fertility (DF) = 100[1 \u2212 (PPLOV/PPLOC)], where PPLOV is the average weight of the larvae per gram of eggs in the vaccinated group, and PPLOC is the average weight of the larvae per gram of eggs in the control group.Finally, calculate the vaccine efficacy (E) = 100[1 \u2212 (CRT \u00d7 CRO \u00d7 CRF)], where CRT = NTV/NTC, CRO = PATV/PATC, and CRF = PPLOV/PPLOC, which is a representation of the reduction in the number of adult female ticks, oviposition, and egg fertility as compared to the control group, respectively.In conclusion, if vaccine efficacy and effectiveness are supported by the results of the trial, Ugandan state regulatory authorities will consider the approval of the vaccine for prospectus licensure for vaccine commercialization. These results will represent a key step for the Ugandan cattle industry with a positive impact on society and the economy."}
+{"text": "Cancer is increasingly recognized as an extraordinarily heterogeneous disease featuring an intricate mutational landscape and vast intra- and intertumor variability on both genetic and phenotypic levels. Prostate cancer (PCa) is the second most prevalent malignant disease among men worldwide. A single metabolic program cannot epitomize the perplexing reprogramming of tumor metabolism needed to sustain the stemness of neoplastic cells and their prominent energy-consuming functional properties, such as intensive proliferation, uncontrolled growth, migration, and invasion. In cancerous tissue, lipids provide the structural integrity of biological membranes, supply energy, influence the regulation of redox homeostasis, contribute to plasticity, angiogenesis and microenvironment reshaping, mediate the modulation of the inflammatory response, and operate as signaling messengers, i.e., lipid mediators affecting myriad processes relevant for the development of the neoplasia. Comprehensive elucidation of the lipid metabolism alterations in PCa, the underlying regulatory mechanisms, and their implications in tumorigenesis and the progression of the disease are gaining growing research interest in the contemporary urologic oncology. Delineation of the unique metabolic signature of the PCa featuring major aberrant pathways including de novo lipogenesis, lipid uptake, storage and compositional reprogramming may provide novel, exciting, and promising avenues for improving diagnosis, risk stratification, and clinical management of such a complex and heterogeneous pathology. Cancer is increasingly recognized as an extraordinarily heterogeneous disease featuring an intricate mutational landscape and vast intra- and intertumor variability on both genetic and phenotypic levels. The complexity of cancer is reflected in a high level of diversity in terms of the underlying mechanisms and drivers of carcinogenesis, manifestation and progression of the disease, spectrum of metabolic and functional modifications of the affected tissue, variety of cellular processes and involved molecular actors, an array of disrupted regulatory circuits, and, finally, clinical outcomes. Furthermore, cancer represents a dynamic system that evolves over the course of qualitatively distinct states regulated by a wide range of entities operating on multiple spatial and temporal scales ,2,3.Under physiological conditions within intricate hierarchical systems, cells receive, send, and process sets of signals that condition the precise coordination of their behavior with the aim of preserving the stability and integrity of a complex structure such as a multicellular organism. Following comprehensive communication and control mechanisms, cells differentiate, grow, divide, and, finally, die when that serves the organism\u2019s well-being. The formation of a malignant phenotype is due to changes that affect the control systems of cell proliferation, senescence and longevity, relationships with other cells, and capacities to evade the surveillance and defense activities of the immune system. The interplay between genetic alterations and environmental factors modulates the expression of both oncogenes and tumor-suppressors, thus orchestrating the nonlinear progression of the neoplastic disease . With unConceptualization of the set of shared biological attributes of malignantly altered cells represents a theoretical framework for distilling the complexity of neoplasia as well asa heuristic tool for research and a better understanding of cancer biology. Key hallmarks of cancer cells are the maintenance of proliferative signaling, avoidance of exogenous growth suppressors, resistance to mechanisms of programmed cell death, replicative immortality, induction of angiogenesis, ability to invade and colonize distant sites reserved for other cells, alteration of cellular bioenergetics, i.e., metabolism reprogramming, and evasion of immune system-mediated destruction . These aThere is a mounting body of evidence underpinning the significance of malignancy type and tissue-specific metabolic alterations, fluctuations in bioenergetic sources, and oxidative stress modulation in supporting the anabolic requirements of tumor biomass production and cancer progression. It is evident that a single metabolic program cannot epitomize the perplexing reprogramming of tumor metabolism needed to sustain the stemness of neoplastic cells and their prominent energy-consuming functional properties, such as intensive proliferation, uncontrolled growth, migration, and invasion . Each ceMost solid tumors exert the so-called Warburg Effect, a phenomenon described in the mid-19th century with the pioneering works by Otto Warburg, the Nobel Prize winner, whereby cancer cells take up glucose at substantially higher rates than the surrounding non-transformed normal tissue and shift their dominant adenosine triphosphate (ATP)-producing pathway towards aerobic glycolysis. In such circumstances, even under normoxia and with completely functioning mitochondria, the glucose-derived carbon is preferentially converted to lactate rather than being oxidized as pyruvate within the tricarboxylic acid cycle (TCA) . It has Nevertheless, aerobic glycolysis is only one element of the cancer-related metabolic reprogramming puzzle. To engage in limitless replicative division, cancer cells require a continuous supply of both glucose and glutamine, representing the principal and most abundant extracellular nutrients, for the metabolic pathways governing the synthesis of the three major macromolecule classes .GlutaminFunctionally interdependent with cancer-specific glucose and glutamine catabolic pathways, reprogramming of the lipid- and cholesterol-associated metabolisms encountered in malignancy are of exceptional importance for the pathogenesis of cancer. Although their relevance was disregarded in the past, they now represent a topic of burgeoning scientific interest. Cancer cells exert pronounced avidity for lipids, which are derived endogenously from citrate or taken up from exogenous sources. In normal adult mammalian tissues, de novo lipogenesis is rather low with the exception of lipogenic tissues such as liver, adipocytes, and mammary epithelium during lactation. Conversely, tumorigenesis is associated with a remarkable amplification of lipid production . ExcessiContrary to their normal counterparts, whose survival and proliferation are dependent on specific signaling prerequisites based on adhesion and growth factors, cancer cells foster oncogenic alterations to circumvent dependence on these external inputs. Several aberrant oncoproteins and tumor suppressors, such as phosphoinositide 3-kinase (PI3K)/Akt/mammalian target of rapamycin (mTOR)signaling pathway, hypoxia-inducible factor-1 alpha (HIF-1A), MYC, and p53, have been associated with the regulation of the metabolic adaptation that favors tumorigenesis by facilitating cellular proliferation, access to vasculature, and stress resistance . The modProstate cancer (PCa) is the second-most prevalent malignant disease among men worldwide . The incPCa treatment requires an individual approach to each patient, and the decision is made depending on the stage of the disease while respecting the wishes and preferences of the patient. Active surveillance, surgery, and radiotherapy are reserved for localized PCa, with hormone therapy, chemotherapy, and target therapy being used in locally-advanced, advanced, or metastatic PCa.18F-fluorodeoxyglucose (FDG) cannot provide accurate differentiation between healthy and cancerous prostates [Benign prostatic tissue exerts a specific metabolic profile in baseline circumstances. Conventionally, mammalian cells energetically depend on aerobic respiration and, therefore, rely on citrate oxidation as a crucial step in the TCA cycle. Nevertheless, one of the major biochemical functional features of the glandular epithelium in the peripheral zone of the prostate is its exceptionally high citrate production and its subsequent secretion into the prostatic fluid. The unique metabolic programming of benign prostate cells to produce rather than oxidize citrate is biologically determined by another extraordinary feature: their capability to accumulate large intracellular concentrations of zinc. Increased zinc levels exhibit an inhibitory effect on the activity of m-aconitase, the mitochondrial enzyme catalyzing the stereospecific citrate conversion to isocitrate within the Krebs cycle. In other cell types, such inhibition is lethal, but in healthy prostate tissue, it enables secretion of citrate into the semen, where it serves as the buffering agent and energy source for spermatozoa as well as afree radical scavenger and chelating agent for zinc and calcium ions ,37. By crostates .In order to support proliferation concomitantly with the shift toward citrate-oxidizing metabolism, malignant prostate cells display the lipogenic phenotype. As opposed to most normal somatic cells, which predominantly utilize the lipids from exogenous sources, de novo fatty acid biosynthesis is reported to be exacerbated in various cancer cells irrespective of the abundance of the extracellular lipid content and circulating fatty acids . The sigThere is a complex interplay between the androgens and the modulation of the lipogenic program. In neoplastic prostate cells, androgen-regulated gene expression operates via common transcription factors of several genes significant for fatty acid synthesis and the cholesterol biosynthetic pathway. SREBPs have the central role in the synchronized cascade mechanism of highly coordinated androgen-mediated control of lipid metabolism in this oncopathology. It has been demonstrated that SREBP cleavage-activating protein (SCAP), compulsory for the nuclear translocation and activation of SREBP, FASN, and several lipid-modifying enzymes, including those implicated in the mevalonate-pathway, are upregulated in an androgen-dependent manner . FurtherSignaling pathways that elicit cancer lipogenesis culminate with the formation and accumulation of LDs. Accurate, controlled, and precise synchronization between factors of lipogenesis and lipolysis defines the net amount of lipids stored intracellularly. De novo synthetized or acquired lipids in the malignant tissue are commonly incorporated in triacylglycerols and cholesterol esters, and are then deposited within LDs. Anelevated abundance of LDs is the representative characteristic of various aggressive cancers, including PCa. The final step in the biosynthesis of triacylglycerols is catalyzed by acyl-CoA:diacylglycerol acyltransferase (DGAT) enzymes; the overexpression of DGAT1 was found in PCa neoplastic cells compared to normal epithelium . FurtherAlthough the endogenous de novo lipogenesis is considered to be the dominant source of fatty acids in neoplastic cells, it has been acknowledged that, under metabolic stress, cancers may adopt additional means to obtain lipids, including scavenging from the extracellular milieu. Such aberrant metabolic routs, coupled with the proficient de novoformation machinery, fuel the pervasive upregulation of lipid abundance and accommodate the increased demand of the progressing neoplasia . FurtherIn addition to lipogenesis, reprogramming of the fatty acid composition patterns was acknowledged in the cellular pool and membrane phospholipid profile. Fatty acid desaturation, catalyzed by the family of stearoyl-CoA desaturases (SCDs), and elongation, depending on the activity of elongases, may have a significant role in PCa progression. SCD1 overexpression was demonstrated on both mRNA and protein levels in specific PCa cell lines and human tissue specimens, where it correlated with a higher Gleason grade and worse clinicopathological features . FurtherDeregulation of cholesterol metabolism is another hallmark of the PCa pathogenesis. Featuring an amphiphilic and virtually planar structure, cholesterol molecules represent major constituents of the cellular membrane, supporting its integrity and regulating itsfluidity and permeability. In the TME, both intrinsic and extrinsic cues trigger cholesterol metabolism alternation, thus supporting carcinogenesis and suppressing the antitumoral activity of the immunological landscape . PCa celThe lipidomics approach, involving comprehensive identification, structural characterization, and quantitation of the complex networks and pathways of cellular lipids and their interactions with other moieties in vivo, represents a platform of exceptional potential in PCa research. As a metabolome subset, ubiquitously present lipid species display multifaceted and diverse roles in both the etiology and sequelae of various pathologies. Exploration of lipid alterations in translational contexts and clinical settings serves not only to advance the fundamental comprehension of the biological processes underlying disease onset and trajectory, but also to assist in developing personalized risk-assessment models that may guide curative interventions . ProvidiIn summary, comprehensive elucidation of the lipid metabolism alteration in the PCa, the underlying regulatory mechanisms, and their implications in tumorigenesis and the progression of the disease are gaining growing research interest in contemporary urologic oncology. A better understanding of the unique metabolic signature of PCa, featuring major aberrant pathways including de novo lipogenesis, lipid uptake, storage and compositional reprogramming, may provide novel, exciting, and promising avenues for improving diagnosis, risk stratification, and clinical management of such a complex and heterogeneous pathology."}
+{"text": "Additive Manufacturing of Polymer\u2013Fiber Composites is a newly open Special Issue of Materials, which aims to publish original and review papers on new scientific and applied research, and make great contributions to the finding and understanding of the fabrication of fiber-reinforced polymer composites using current advanced additive manufacturing techniques. This Special Issue also covers fundamentals, characterization, and applications of fiber-reinforced polymer composites.The technology of the additive manufacturing (AM) process has significantly piqued the interest of researchers and industrial players from various areas ,2,3,4,5.Studies on fiber-reinforced polymer composites for the additive manufacturing process have been carried out by many researchers and become an interesting topic to be explored in the additive manufacturing industry. The aims of the inclusion of fiber in the polymer-based feed stock materials are to reduce the percentage of polymers and consequently reduce the harmful substances that may emit during the fabrication process in AM. Moreover, fiber-reinforced polymer composites could improve the properties of the dominant materials and exhibit good performance in the final products. Employment of the fibers in the AM process should consider the type of fiber, fiber treatment, fiber size, fiber loading, and fiber characteristics. It is important to understand the composition of fibers to ensure their compatibility with the polymer, and how they could produce good resultant composites for AM.The AM process starts from the preparation of the feed stock until the disposal of the fabricated parts . The impIn this Special Issue, we aim to capture the cutting edge of the state-of-the-art research pertaining to advancing additive manufacturing of fiber-reinforced polymeric materials. The topic themes include advanced fiber-reinforced polymeric material development, processing parameter optimization, characterization techniques, structure\u2013property relationships, process modelling, etc., specifically for AM."}
+{"text": "In contemporary Poland, Universities of the Third Age are the most visible institutional forms of active aging. These lifelong-learning institutions that are specifically for retirees often cultivate ideals of independence through workshops and classes that teach new, and potentially transformative, skills and hobbies . Universities of the Third Age in Poland emerged out of the fields of andragogy, pedagogy, and social work, fields that have regional intellectual roots in the late 19th/early 20th-century presocialist era, and are based on radically different ideals of personhood, relationality, and care than those of the contemporary postsocialist neoliberal era . This paper analyzes 1) historical data from institutional archives of two Universities of the Third Age in Poland, and 2) secondary sources on histories of andragogy, pedagogy, and social work, to create a locally grounded intellectual history of active aging in central and eastern Europe. The Polish case offers an opportunity to think across divergent political-economic eras, in which assumptions about the value of a person to society have shifted. By tracing how the fields of andragogy, pedagogy, and social work have shaped active aging in Poland, this paper finds that 1) dichotomies of East/West, socialist/capitalist, and individual/collective are insufficient to explain the history of contemporary practices of active aging, and 2) intellectual history can reveal complex relations between political-economic change, and ideals and practices of aging. These findings have implications for advancing gerontological theories of 1) active aging in cross-cultural contexts, and 2) how active aging relates to sociopolitical change."}
+{"text": "Defined as, \u201cstereotype, prejudice, and discrimination directly towards people because of their age\u201d, ageism may contribute to adverse health outcomes, accelerate aging process, and increase the burden on health and social services. Little is known about the ageism impact on biological aging. Secondary analysis of the American Health and Retirement Study (2012 and 2016 waves) was carried out. Participants were asked: the self-perception of aging (SPA), the causes of receiving discrimination, including ageism as one of the causes, and the frequency of receiving such discrimination. The aging rate was measured using two distinct measurements: homeostatic dysregulation and epigenetic aging clocks . The influence of perceived ageism (current or previous waves) on the aging rate was modelled with linear models using biological aging (aka. homeostatic dysregulation and epigenetic age) as the dependent variable (outcome), ageism as the exposure, with considering confounders: sex, depressive symptom. The results show that more negative SPA, either from the previous (2012) or the same wave (2016), is associated with elevated homeostatic dysregulation and increasing epigenetic age . The association between the ageism receiving frequency and biological aging is similar but less significant. The results demonstrate that ageism is associated with accelerated biological aging. More interventions are called to combat ageism and foster the health and wellbeing of the older adults."}
+{"text": "The coronavirus disease of 2019 (COVID-19) pandemic has led to increases in intimate partner violence (IPV), a leading cause of women's homelessness. Although the Canadian Government provided emergency funding to the violence against women and housing and homelessness sectors in response to COVID-19, Canada lacks a national legislative and funding framework to support coordinated prevention efforts. We review the context of IPV and homelessness among women and international policy exemplars. We then propose several starting points for developing a Canadian strategic framework, including adopting inclusive definitions of IPV and homelessness as well as evaluating a broad continuum of IPV-housing options and intersectoral partnership models. The intersections of intimate partner violence (IPV), homelessness, and the coronavirus disease of 2019 (COVID-19) pandemic necessitate a coordinated public health response strategy. As in prior infectious outbreaks, the COVID-19 pandemic has been associated with higher risks of violence against women, including IPV . In addiIn this activist/advocate note, we outline the context of gender-based violence and homelessness in Canada prior to COVID-19 and how the pandemic has exacerbated structural vulnerabilities for women. We propose that Canada needs a national legislative and funding framework that supports intersectoral coordination to maximize prevention efforts for women's homelessness and IPV during and beyond the pandemic. We discuss several starting points for building this framework based on successful local examples and international approaches, including adopting inclusive definitions of IPV and homelessness and evaluating a broad continuum of structural solutions. The COVID-19 pandemic has highlighted the gaps in public health policy for marginalized communities and presents a critical opportunity to restructure for a more equitable future of public health. Doing so requires countries to not only reflect inwards, but to consider successful policy and practice internationally, including areas of implementation that can be further improved.Although people of all genders experience IPV, women and gender-diverse populations tend to experience more severe IPV and more physical, psychological, and socioeconomic impacts . IPV is Most specialized housing supports available to women experiencing IPV in Canada are mandated for short-term stays . Few optEmerging evidence from the COVID-19 pandemic indicates that IPV has increased over the last year due to stressors like income loss or precarious employment, service disruptions, and lockdown measures . In CanaChanges in the risk and severity of IPV are exacerbated by a collision of structural vulnerabilities disproportionately impacting women during this pandemic, as in prior public health emergencies . These gDespite the gender-based and intersectional impacts of the COVID-19 pandemic, Canada paused development of its National Action Plans on gender-based violence and Missing and Murdered Indigenous Women and Girls as well as the National Indigenous Housing Strategy during the first 6 months of the pandemic. The Federal Government committed financial support in response to women's experiences of homelessness and violence in May 2020: $76 million for violence against women shelters (including off-reserve Indigenous shelters), sexual assault centers, and nonprofit gender-based violence organizations; and $10 million for shelters supporting Indigenous women and children fleeing violence on reserves . The houAs the Canadian Government recommits to developing its National Action Plan on gender-based violence , as well as New Zealand, which likewise implemented national legislation and is in the process of designing its National Action Plan to prevent family and sexual violence . As a reDespite a lack of large-scale investment in coordinated responses to IPV-related homelessness in Canada, locally practitioners have successfully committed to delivering longer-term options. For instance, a small-scale evaluation of Housing First adapted for women's homelessness needs in the province of Ontario found that six of 10 participants who had experienced complex histories of homelessness, violence, and trauma were housed at the end of the 2-year funding period, although the evaluators highlighted the need for a stronger integration with community services . EvaluatTo advance a coordinated intersectoral approach to preventing gender-based homelessness and violence in Canada, inclusive and standardized definitions of IPV and homelessness should be applied across (and within) jurisdictions, including in national funding streams. Legal definitions of IPV currently vary across Canada, often barring survivors from critical supportive services if they have not experienced specific definitions of physical or sexual violence . RegardiMoving forward, policies and programs related to homelessness should explicitly adopt an intersectional gender-based definition of homelessness that understands women's unique experiences, based on multiple and intersecting social locations: gender, sexual identity, race/ethnicity, Indigeneity, class, disability, and age . This muCanada's national strategies on housing and gender-based violence should be coordinated to provide the necessary legislative and funding infrastructure for key sectors to collaborate in developing, implementing, and innovating across the full continuum of intersectoral interventions. For instance, Canada's National Action Plan on gender-based violence should be developed with linkage points to the National Housing Strategy, including investment in long-term supportive housing solutions that account for the unique needs of IPV survivors . This muStrengthening intersectoral action to prevent gender-based homelessness and violence against women in Canada must address the disproportionate burdens faced by Indigenous women and girls due to historic and ongoing structural harms at the intersections of colonization, misogyny, and racism . This inThe COVID-19 crisis has demonstrated the consequences of siloed and chronically underfunded social care systems worldwide. Now more than ever, policymakers must mobilize the coordination of Canada's national infrastructure to address the structural causes and outcomes of gender-based violence and homelessness. This is a critical time to draw lessons from local and international examples of coordinated intersectoral action to strengthen Canada's systems-level response to gender-based violence and homelessness\u2014especially as the national government restarts the development of its National Action Plan for gender-based violence. Intersectoral action is essential for addressing the structural determinants of gender-based health inequities and strengthening the response to IPV during and beyond the COVID-19 pandemic."}
+{"text": "Dear Editor,Betacoronavirus genus), responsible for the COVID-19 pandemic, can potentially cause severe acute respiratory syndrome (SARS), affect other organs, and trigger autoimmune events as a result of the cytokine storm.Infection caused by Coronavirus 2 , followed by UVB (narrow band). Two weeks after household contact with COVID-19, she developed a maculopapular rash . After 1The role of environmental factors and infectious agents as triggers or promoters of the development of CTCL is not yet fully established. Moreover, autoimmune disorders can generate a favorable environment for the risk of CTCL. Theories about the pathogenesis of MF and SS include increased Th2 activity, and reduced Th1 activity, the antitumor cytotoxic response of CD8 lymphocytes, the dendritic cell population, and the production of interleukin-12 and interferon-alpha.4The immunological dysregulation present in COVID-19 favors the reduction of the functional activity of regulatory T lymphocytes and an imbalance in the production of cytokines, in addition to the elevation of C-reactive protein and D-dimer serum levels.Although most patients with indolent or controlled CTCLs are not predisposed to viral infections, conditions at risk for infection and severe symptoms of COVID-19 are considered: aggressive or advanced CTCLs, ongoing immunosuppressive therapy, lymphopenia, chronic organ failure, coexisting comorbidities, advanced age.This unprecedented report of previously controlled MF, with exuberant and sudden cutaneous recurrence after SARS-CoV-2 infection, indicates viral immunogenic mechanisms as potential triggers of immune dysregulation in CTCLs.None declared.\u00c9derson Valei Lopes de Oliveira: design and planning of the case study; data collection, or analysis and interpretation of data; writing of the article or critical review of the intellectual content; collection, analysis and interpretation of data; intellectual participation in the propaedeutic and/or therapeutic conduct of the studied case; critical review of the literature; approval of the final version of the manuscript.Ligia Magnani Landell: collection, analysis and interpretation of data; intellectual participation in the propaedeutic conduct of the studied case; approval of the final version of the manuscript.Cacilda da Silva Souza: design and planning of the study; analysis and interpretation of data; writing of the article or critical review of the intellectual content; collection, analysis and interpretation of data; critical review of the literature; approval of the final version of the manuscript.None declared."}
+{"text": "The COVID-19 pandemic has had unprecedented and potentially irreversible impacts on health and health care globally. Many complex issues and factors therefore need to be accounted for as we look at the long-term impact of COVID-19 on humanity and society and how this ongoing crisis continues to affect health and health care outcomes for different populations. There are significant health disparities and sex inequalities associated with the COVID-19 pandemic. Sex-responsive interventions are imperative to address widening sex gaps resulting from the pandemic. Although many researchers have studied the impact of the COVID-19 pandemic on health disparities, there is a lack of research on the sole and joint association of the pandemic or sex differences and their specific impact on health and health care. The study examined the association of the COVID-19 pandemic, the association of sex, and the joint association of sex and the COVID-19 pandemic with health communication, physical activity, mental health, and behavioral health. We also highlighted the application of Bonferroni corrections when conducting multiple hypotheses testing simultaneously.To examine the association of the COVID-19 pandemic, the association of sex, and the joint association of sex and the COVID-19 pandemic with health communication, physical activity, mental health, and behavioral health.We drew data from the National Cancer Institute's 2020 Health Information National Trends Survey (HINTS). We described and compared the characteristics of social determinants of health, physical activity, mental health, alcohol use, patterns of social networking service use, and health information data sharing. Analyses were weighted to provide nationally representative estimates. Multivariate models were used to assess the sole and joint association with sex and pandemic. In addition, we applied the Bonferroni correction to adjust p-values to decrease the risks of type I errors when making multiple statistical tests.Females were more likely to use mobile health and health communication technologies than males, and the difference increased after the pandemic. The association between sex and mental health was significant after the COVID-19 pandemic. Females were more likely to experience depression or anxiety disorders. Both males and females had a slight decrease in terms of the quantity and intensity of physical activity and females were less likely to perform moderate exercise and strength training regularly. Males were likely to drink more alcohol than females.The COVID-19 pandemic amplifies the differences between males and females in health communication, physical activity, mental health, and behavioral health. Intersectional analyses of sex are integral to addressing issues that arise and mitigating the exacerbation of inequities. Responses to the pandemic should consider diverse perspectives, including sex."}
+{"text": "Drowning and near-drowning are the consequences of recreational activities and natural disasters. The purpose of this study was to review the microbiology literature on drowning and near-drowning and to understand its applications in the diagnosis and treatment of these injuries and diseases.This study is the result of a short review on publications extracted by searching in scientific databases including Google Scholar, PubMed and Semantic Scholar in the period from 1961 to 2021, using the keywords \"Microbiology\" and \"Drowning\" or \"Near-Drowning\".A search in scientific databases revealed 184 articles related to \"drowning\" and \"microbiology\" and 84 articles related to \"near-drowning\" and \"microbiology\", of which 65 and 28 articles have been published in the last twenty years, respectively. Of these, 43 articles were used for this study. Regarding the microbiology of drowning and near-drowning, no study was conducted in the Islamic Republic of Iran in this field. The findings of the present study showed that:\u2022 Near-drowning in its victims causes physical and mental injuries, and invasive polymicrobial and fungal pneumonia, brain abscesses, and sepsis.\u2022 They are mainly associated with numerous bacterial agents e.g. Aeromonas spp., Nocardia spp., Vibrio spp., Photobacterium spp., Burkholderiapseudomallei, Pseudomonas spp., Plesiomonas shigelloides, and Shewanella spp. and Fungal and Protozoan pathogens are limited to Aspergillus spp., Scedosporium apiospermum, and Rhizopus spp., and Cryptosporidium parvum (rare), respectively.\u2022 If bacterial, fungal, and protozoa infections are not properly diagnosed and treated in drowning victims, they can lead to death in intensive care units and even long after discharge from the hospital.\u2022 Deaths from drowning and near-drowning are candidates for organ transplants, especially lung, bone, liver, and heart.\u2022 Clinical, environmental, forensic, and eco-microbio-epidemilogy studies in pre-and post-mortem drowning victims are being developed using cultured-based and molecular methods such as PCR, LAMP, NGS, and Metagenomics, etc. to determine the drowning microbiome pattern.Several cases of infections and diseases caused by drowning and near-drowning have been reported among the victims of recreational activities and natural disasters in different countries. Therefore, eco-microbio-epidemiological study of drownings in our country, where there is an average of 1,200 annual drownings on the north and south coasts and inland waters is essential. Even predicting tsunami and destructive storms on the shores of the Caspian Sea and the Oman Sea are very important in determining the microbiome pattern of natural aquatic areas and the role of microbes in diseases and complications caused by drowning. Finally, a national protocol should be developed for microbial monitoring of drowning victims from the scene of water accidents to the hospital bed and on the autopsy table.Microbiology, Microbiome, Drowning, Near-Drowning, Natural Disasters"}
+{"text": "Gliomas are invasive brain tumors characterized by high rates of recurrence and mortality. Glioblastoma (GBM), a grade IV brain tumor, is known for its heterogenicity and its resistance to the current treatment regimen. MicroRNA (miRNAs) are small non-coding sequences of RNA that regulate and influence the expression of multiple genes. The detection of certain types of micro-RNA in tissues and blood serum can be used for diagnosis and prognosis, including the response of a particular patient to therapy. The purpose of this review is to analyze studies and experimental results concerning changes in microRNA expression profiles characteristic of gliomas. Furthermore, miRNAs also contribute to autophagy at multiple stages. In this review, we summarize the functions of miRNAs in GBM pathways linked to dysregulation of cell cycle control, apoptosis and resistance to treatment, and the possible use of miRNAs in clinical settings as treatment and prediction biomarkers. The posThis review considers the possibility of using miRNAs as prognostic markers and therapeutic targets in gliomas.2Many recently published works have confirmed the association of microRNA with chemotherapy and radiation resistance of patients' tumors 13].Fig.Fig13].FCSF allows to differentiate glioblastomas and brain metastases with high accuracy (91\u201399%) on the test dataset. Nevertheless, the authors note that the search for additional microRNA biomarkers and subsequent analysis of large cohorts of patients will help to increase the accuracy of the approach [Radiation resistance, often caused by the spread of CSCs in gliomas, remains one of the main difficulties in the treatment of glioblastoma. In the context of radiation resistance of gliomas, miR-21 is one of the most actively discussed microRNAs. Blocking this microRNA with anti-miR-21 promotes the formation of phosphorylated histone g-H2AX (an indicator of double-stranded DNA breaks) and suppression of phospho-Akt expression, activation of autophagy and apoptosis (including by inhibition of Cdc25A expression) after irradiation in cell lines gliomas ,14. MiR-3The principle of therapeutic targeting of micro-RNAs is based, on the one hand, on increasing their expression due to the introduction of synthetic micro-RNAs (micro-RNA mimetics) to inhibit oncogenes; on the other hand, on the inactivation of endogenous micro-RNAs using inhibitors (antagomiRs or anti-micro-RNA) in order to increase the expression of tumor suppressors . Effecti4Expression profiles of certain types of microRNA in gliomas repeat the changes characteristic of other types of malignant neoplasms. Similarly, to genes proper, subdivided according to their effect on tumor pathogenesis on tumor suppressors and oncogenes, by now it is already possible to distinguish classes of microRNAs that also play opposite roles in the pathogenesis and progression of gliomas - oncogenes and tumor suppressors . Studies of microRNA expression profiles have expanded our understanding of the mechanisms of progression of gliomas/glioblastomas, providing valuable information on the pathogenesis of these tumors and potential therapeutic targets . DetectiNone.Albert Sufianov and Sema Begliarzade conceptualized and designed the study. All authors participated in the acquisition, analysis and interpretation of the data. Tatiana Ilyasova and Yanchao Liang drafted the manuscript. Ozal Beylerli contributed to critical revisions of the manuscript. All authors agreed on the journal to which the article would be submitted, gave final approval for the version to be published, and agreed to be accountable for all aspects of the work.The authors declare that no conflicts of interest exist."}
+{"text": "Hysterical disorders were considered separately in the context of the dynamics of the course of either endogenous affective diseases or schizophrenia, without attention to the conjugation and interaction of issues of hysterical symptoms and affective or psychotic syndromes.To test the psychopathological structure and provide a typology of the conjugation of hysterical symptoms with other psychopathological syndromes.120 patients (82 women and 38 men) with schizophrenic and affective disorders with associated hysterical symptoms were examined by a clinical psychopathological method.Three variants of conjugation were identified. In the group of hysterical disorders associated with affective diseases the structure and dynamics of hysterical symptoms directly influenced the developing affective phase: the low intensity of hysterical symptoms contributed to the development of an apatho-adynamic type of depression, and bright and spontaneous hysterical manifestations formed an anxious-hypochondriac type of depression. Hysterical disorders formed in the structure of the psychotic state influenced the nature, structure, dynamics and content of delusional, hallucinatory and paranoid disorders. \u201cCaste\u201d hysterical symptoms revealed a lack of connection with affective and psychotic states. Hysterical symptoms were characterized by persistence, stability, invariability of manifestations, long-term psychotherapeutic and psychopharmacological resistance.Clinical and psychopathological analysis of endogenous mental diseases of the affective and schizophrenic spectrum, occurring with hysterical symptoms, showed that the parameter of the conjugation of hysterical symptoms with other psychopathological syndromes is prognostically significant.No significant relationships."}
+{"text": "The International Classification of Functioning, Disability and Health (ICF) provides a framework rooted in patient-centered care and the biopsychosocial model that facilitates a comprehensive description of a person\u2019s health and their level of societal participation. The importance of the ICF for assessing the needs of individuals with mental health problems (MHP) and intellectual disabilities (ID) is growing, especially in the social medicine.To describe the benefits and limitations of the ICF in clinical practice, pertaining to the assessment of healthcare needs and societal participation in persons with MHP and ID.Comprehensive literature search in medical databases using the Keywords: ICF, mental health, intellectual disabilities, social and occupational participation.ICF-based instruments such as the Mini-ICF-APP, with which impairments and competencies in social and occupational participation can be described, are playing an increasingly important role in healthcare and rehabilitation. In Germany, for example, in accordance with the Federal Participation Act, the entitlement to disability support benefits is assessed using ICF-based instruments, which therefore play a decisive role in social medical care.The functional descriptions of the ICF provide the opportunity for a standardized, yet individualized assessment of medical needs, general health and societal participation, thus facilitating the provision of a comprehensive package of care and support for people with disabilities. ICF-Core Sets and the Mini-ICF-APP are effective tools to describe level of function. It would be clinically valuable to further develop these instruments for use in persons with ID and MHP in the field of social medicine.No significant relationships."}
+{"text": "There are about 1.5 million internally displaced persons (IDPs) in Ukraine, which requires an assessment of their mental health.To develop a psychoeducational program aimed at informing about the clinical manifestations (markers of symptoms) of mental disorders, the possibilities of preventing their formation and options for action in conditions of the formation or exacerbation of a mental state.270 IDPs were examined. Methods: clinical-psychopathological, psychometric, statistical.Evaluation of the mental state of IDPs with symptoms of mental disorders (risk group (31.92%)) indicates the presence of various emotional disorders that formed individual syndromes \u2013 asthenic (41.18%), agrypnic (45.59%), somato-vegetative (30.88%), anxiety-depressive . The risk factors for the development of mental disorders in IDPs were identified - the older age is from 50 to 59 and the average age is from 40 to 49 years; lack of a complete family, lack of work, low level of social employment, lack of satisfactory living conditions, a significant decrease in the level of well-being, the preservation of the significance of factors of mental trauma, the presence of certain prenosological syndromes. The proposed psychoeducational program is built on the principle of thematic seminars with elements of social and psychological training.The implementation of the program provides a comprehensive impact on the cognitive, emotional, psychophysiological, behavioral and social aspects of personality functioning."}
+{"text": "The inter-organelle interactions, including the cytomembrane, endoplasmic reticulum, mitochondrion, lysosome, dictyosome, and nucleus, play the important roles in maintaining the normal function and homeostasis of cells. Organelle dysfunction can lead to a range of diseases , Parkinson\u2019s disease (PD), and cancer), and provide a new perspective for drug discovery. With the development of imaging techniques and functional fluorescent probes, a variety of algorithms and strategies have been developed for the ever-improving estimation of subcellular structures, organelle interaction, and organelle-related drug discovery with accounting for the dynamic structures of organelles, such as the nanoscopy technology and molecular dynamics (MD) simulations. Accordingly, this work summarizes a series of state-of-the-art examples of the recent progress in this rapidly changing field and uncovering the drug screening based on the structures and interactions of organelles. Finally, we propose the future outlook for exciting applications of organelle-related drug discovery, with the cooperation of nanoscopy and MD simulations. Cellular organelles with specific morphology and functions are highly dynamic in maintaining the normal operation of eukaryotic cell life activities , and theOrganelle bioimaging can aid our understanding of the organelle functions and the development of organelle-targeting therapy for various diseases. Conventional fluorescence microscopy (FM) opens the door to fine structural details of cellular architectures and dynamics, while the resolution is limited to approximately 200\u00a0nm because of the light diffraction . As the With the status of interactions between organelles in the improvements of pathogenesis and therapeutics, related articles are emerging as an endless stream. Recent advances in organelle-targeted fluorescent probes (FPs) provide us with a more suitable selection and high resolution scale under SRM . MeanwhiPrecise imaging of intracellular and subcellular structures and their dynamic processes are crucial to fundamental research in biology and medicine . Super-rWith the technical advancements in SRM, in practice, however, many factors can influence the achievable resolution, including the excitation and detection schemes, the properties of fluorescent probes (FPs), as well as the labeling and sampling density of FPs. SRM technologies have also enhanced the requirements of FPs, which need especially low cytotoxicity, high photostability, photobleaching resistance , and spevia STED method.The search for new therapies is a tedious process with long cycles and high risks . In the A receptor) Figure can obseeceptor) . The esteceptor) ] and deteceptor) ]. The tweceptor) (Nakane eceptor) and 2) ceceptor) (Ng and eceptor) . In cryoeceptor) . The cryeceptor) is a receceptor) . HoweverVia IPET and FETR, the adverse effect caused by the inclination error can be effectively limited, and the macromolecular center can be found more accurately, thus greatly improving the resolution of reconstruction results is the most common malignant primary brain tumor in adults. However, existing treatments, such as surgery and chemotherapy, have little effect on glioblastoma stem cells (GSCs) . After hAlthough the dynamic process of organelle interactions can be obtained by nanoscopy, it is still necessary to analyze the evolution behavior at the all-atom level. Molecular dynamics (MD) simulations could obtain structural and dynamical insight into organelle interactions at the all-atom level . MD simuin vitro. The rebalancing MD simulation force fields, based on experimental data on LLPS and without limiting specific coarse-particle sizes, not only perfect the interaction between proteins, but also correct the potential energy surface, improving the reliability of modeling interactions between membraneless organelles techniques enable the observation of fluorescence images of subcellular organelles beyond the diffraction limit and arouse the discovery of mitochondrial lysosome contact (MLC), providing a new perspective on the drug screening and the treatment of diseases . HoweverThe ideal of organelle interaction research is to capture a series of atomic resolution images in active state in chronological order, construct the dynamic structures during the interaction processes, and deeply understand the details of conformational transitions and \u201cenergy motion\u201d transformation mechanism. Due to the limitation of current nanoscopy techniques, SRM and cryo-EM analyses cannot reach the atomic resolution or look at how a particular change over time trends. The two deficiencies could be partially compensated by molecular dynamics (MD) simulation. Although the computational power of MD simulation is far from being able to replace the experiments, through careful design, especially constrained by the key dynamic spatial and temporal data provided by nanoscopy (SRM and cryo-EM), it can provide sufficient information for the construction of the initial model. Combined with Coarse-Grained MD and all-atom MD simulations, it is expected to not only connect the dynamic evolution process of organelle interaction on a large scale (the application of CG models sacrifices degrees of freedom), but also analyze the evolution behavior of key dynamic nodes at the all-atom level , then summarize the physical characteristics and laws of the structure-activity changes of the system, and establish the correlation between the dynamic structure and function of organelles .With the continued advances in SRM, cryo-EM, and MD simulation, the combination of the three techniques and the cooperation of super-resolution time series and cryo-EM structure information will be an effective solution for the in-depth investigation of large-scale dynamic structural evolution and will provide new insight for the organelle interaction and drug discovery. It is promising to see the breakthroughs with this approach in the field of organelle-related drug discovery."}
+{"text": "Dementia is a neurodegenerative condition characterized by cognitive decline and increased functional dependency. With most persons living with dementia (PLWDs) residing at home, home-based interventions provide a convenient and individualized alternative for person-centered care. Most of the evidence focused on specific interventions or exercise-based activities; there remains a gap in understanding the impacts of a broader range of non-exercise interventions on PLWDs and their caregivers. This review aimed to understand the impacts of home-based, non-exercise interventions on the behavioral, functional, cognitive, and mood outcomes of PLWDs, and their caregiver's quality of life (QoL), burden and mood.Search for studies published up to June 2020 was conducted on CINAHL, PsycArticles, PubMed, SAGE Journals, Science Direct, and Web of Science. A search was also done manually based on the bibliographies of selected articles. The inclusion criteria for the systematic review were: (i) participants with a medical diagnosis of dementia, (ii) participants who resided at own home, (iii) intervention in the home setting, (iv) investigate interventions other than physical exercise, (v) randomized controlled trials (RCTs) or quasi-experimental studies, and (vi) full-text study published in English and in a peer-reviewed journal.Eighteen studies consisting of 14 RCTs and 4 quasi-experimental studies were included. Interventions included were occupational therapy, cognitive rehabilitation, tailored activity program, cognitive stimulation therapy, personalized reminiscence, music therapy, reality orientation, biobehavioral and multicomponent interventions. Results were mixed, but important intervention features were highlighted. Personalized activities for PLWDs that are aligned to their interest and ability appeared to contribute to intervention effectiveness especially in reducing behavioral symptoms and improving functional status. Involvement of caregivers in interventions is another feature of effective interventions for both the PLWDs and the caregivers' QoL, provided it is not deemed demanding or challenging to the caregivers. The inclusion of caregiver's education was effective in reducing caregivers' burden, particularly when the interventions improved the PLWD's functional status. Dementia is a neurodegenerative condition marked by cognitive decline that interferes with activities of daily living leads to a decreased functional ability to live independently overtime is PLWDs and their caregivers. The target intervention type is home-based, non-exercise interventions for dementia. N comparator factor (C) is being considered. The outcome variables (O) are PLWDs' behavioral symptoms, functional status, cognition and mood, as well as the impact on their caregivers in terms of caregivers' quality of life, their burden and mood. The study designs (S) included are randomized controlled trials and quasi-experiments.The reporting follows the Preferred Reporting Items for Systematic Reviews and Meta-Analyses (PRIMA) guideline for systematic reviews and meta-analyses were used to identify potential articles within the databases. In addition, the reference lists of all relevant full-texts and review articles were hand-searched for eligible articles.Studies were identified and retrieved from the beginning of time up to 30 June 2021 from the following electronic databases: CINAHL, PsycArticles, PubMed, SAGE Journals, Science Direct and Web of Science. A combination of Search terms with truncation and Boolean operators . Next, the full-text articles were screened for final inclusion in the systematic review by the same three reviewers. If no consensus was reached among the three reviewers, the plan was to discuss the case with the fourth author (DGH) until a final consensus was reached; but this option was not required.The inclusion criteria for the systematic review were: (i) participants with a medical diagnosis of dementia, (ii) participants who resided at home in the community, (iii) use of individualized intervention in the home setting for participants, (iv) investigate interventions with treatment components other than physical exercise, (v) randomized controlled trials (RCTs) or quasi-experimental studies, and (vi) full-text study published in English and in a peer-reviewed journal.Studies were excluded if (i) the intervention was conducted in group setting, (ii) the intervention was conducted in institutionalized settings, and (iii) the study focused solely on exercise-related intervention.The quality of each included study was examined independently by two reviewers among BMB, CS, and MML using the Joanna Briggs Institute (JBI) Critical Appraisal Tool Checklist for randomized controlled trials . The characteristics extracted were experimental design, participants' demographics, intervention protocol and components, outcome measures, and findings. After independent data extraction, the accuracy of the data was verified by one other reviewer. The data was analyzed and synthesized on the qualitative directionality of the effects reported in the included studies. The effects on the PLWDs were grouped into: (i) behavioral disturbance, (ii) cognition, (iii) mood, (iv) functional status. The effect on the caregivers of PLWDs in terms of (i) quality of life, (ii) mood, and (iii) burden were also analyzed.A total of 3,882 studies were identified through the screening of the different databases, with 2,444 studies remaining after duplicates were removed. After the advanced search filter (abstract and/or title) was used, 148 studies were screened, with 97 full-text studies obtained and assessed for eligibility. Eighty-five studies were excluded, with reasons such as the type of study design, ongoing studies, settings of the studies and interventions that were unrelated to the research topic. This resulted in a total of 18 studies being included. The PRISMA flow diagram for the current review is illustrated in Fourteen studies were RCTs and four studies were quasi-experimental studies. Among the 18 studies included n = 3), tailored activity programme or TAP (n = 3), cognitive stimulation, (n = 2), occupational therapy (n = 2), reminiscence (n = 1), music therapy (n = 1), reality orientation (n = 1), biobehavioral intervention (n = 1), and multi-component intervention (n = 4).The studies covered interventions that include cognitive rehabilitation , music therapy, ICST, reality orientation, cognitive rehabilitation and multicomponent interventions. Outcome measures consisted of Neuropsychiatric Inventory, Revised Memory and Behavior Problem Checklist, and Agitated Behavior in Dementia Scale.Studies using TAP reported significant reduction of behavioral disturbance when compared to the control groups , Caregiver Assessment of Function and Upset Scale (CAFU), Bristol Activities of Daily Living Scale (BADLS), Alzheimer's Disease Cooperative Study Group Activities of Daily Living Scale (ADCS ADL), Functional Independence Measure (FIM), Direct Measure of Training (DMT), Disability Assessment for Dementia (DAD), Independent Living Scale (ILS), Instrumental Activity of Daily Living Scale (IADLS), Barthel Index (BI), Assessment of Motor and Process Skills (AMPS), Interview of Deterioration of Daily Activities in Dementia (IDDD) and a 3-point scale on competence, questionable and ineffective steps and deficits.The interventions included in these studies were TAP , cognitive rehabilitation, reality orientation, memory rehabilitation with caregiver psychoeducation, and a multicomponent intervention. Outcome measures used across studies were the Rivermead Behavioral Memory Test, Alzheimer's Disease Assessment Scale\u2014Cognition, MMSE, Weschler Memory Scale-Revised, Behavioral Assessment of the Dysexecutive Syndrome, Dementia Rating Scale-2, Test of Everyday Attention, 8-Words Test and Memory Awareness Rating Scale.Significant benefit to cognition were reported in two studies albeit the direction of change was counterintuitive.With a growing need to provide interventions for home-dwelling PLWDs, this review is the first of its kind to investigate the impact of home-based, non-exercise interventions on the behavioral disturbance, functional status, cognition and mood of PLWDs as well as caregivers' QoL, burden and mood.Tailored activities for PLWDs that are aligned to their interests and abilities appeared to contribute to intervention effectiveness especially in reducing behavioral disturbance and improving functional status. Involvement of caregivers in interventions is another feature of effective interventions for both the PLWDs and the caregivers' QoL and burden, particularly when the interventions are improving the PLWDs' functional status and provided the involvement is not deemed demanding or challenging to the caregivers. Longer duration of intervention and measurement are also critical in observing effectiveness.A reduced number and frequency of behavioral symptoms were reported in studies where the interventions were tailored toward the interests and abilities of the PLWDs benefits cognition by delaying deterioration in cognitive reserves of PLWDs through intellectual and social stimulation (Duan et al., The current review also did not find evidence of home-based cognitive rehabilitation benefitting cognition as a secondary outcome despite improvement in functional abilities (Clare et al., All included studies were based in the Western context, hence the transferability of the findings to Asian contexts may be affected given the presence of different sociocultural factors in dementia care. The inclusion criterion of only using studies published in English could have further limited Asian studies published in different languages from being reviewed.The studies had used varied outcome measures for specific outcomes. For example, caregiver burden was measured using various outcome measures such as the Zarit Burden Scale and the Caregiver Burden Inventory. Hence the lack of standardization might have affected the accuracy of analyzed results.There are mixed findings on the evidence of home-based, non-exercise interventions in alleviating PLWD's behavioral symptoms, functional status and cognitive decline as well as their caregivers' QoL. Evidence for improving the PLWDs' mood and their caregivers' burden and mood is limited.Interventions that were tailored to the interest and abilities of the PLWDs alleviated their behavioral disturbance and functional decline. Longer interventions that incorporated reinforcement of strategies and involvement of caregivers in interventions benefits the PLWDs' cognition.When interventions actively involved caregivers and included caregiver education and concurrently yielded a positive impact on the functional abilities of the PLWDs, benefits to the caregivers' QoL and burden were observed. However, the caregivers' involvement must not be overly intensive or causing inconvenience lest increasing their burden.The original contributions presented in the study are included in the article/supplementary material, further inquiries can be directed to the corresponding authors.DT, BB, CC, and MT conceptualized the presented work. BB, CC, and MT conducted the systematic search, the title and abstract screening, the full text screening, extracted the data, conducted the reporting quality assessment, and drafted the first version of the manuscript as a report. DT supervised the project during each stage of the work. DT and B-SW drafted the manuscript for submission. All authors revised the manuscript for intellectual content and approved the final version of the manuscript.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest.All claims expressed in this article are solely those of the authors and do not necessarily represent those of their affiliated organizations, or those of the publisher, the editors and the reviewers. Any product that may be evaluated in this article, or claim that may be made by its manufacturer, is not guaranteed or endorsed by the publisher."}
+{"text": "Complex neuro-immune-vascular interactions play key roles in the development of both neuroinflammation (an inflammatory response within the nervous system) and neurogenic inflammation (sensory nerve-released neuropeptides inducing inflammation in different tissues). Both phenomena have a substantial importance in the pathogenesis of several diseases and might be targets for pharmacological interventions.Therefore, the present Research Topic was designed to collect papers on the molecular mechanisms and pharmacology of pathological processes affecting neuro-immune-vascular interfaces, focusing on neurodegeneration, stroke, headache, neuropathic and other types of pain, as well as peripheral inflammatory diseases, such as arthritis or dermatitis. In addition, interactions between the peripheral and central nervous systems have also been explored.Neuroinflammation is usually accompanied by vascular reactions, including opening of the blood-brain barrier. In the present Research Topic, Inflammasomes were in the focus of the work of Inflammatory reactions may affect the peripheral nervous system as well. Inflammatory neuropathies are characterized by leukocyte infiltration of peripheral nerves, demyelination and axonal degeneration. Therefore, inflammation and pain control in chronic neuropathies is essential to improve the outcomes of the disease. Somatostatin released from capsaicin-sensitive peptidergic sensory nerve endings leads to anti-inflammatory and anti-hyperalgesic actions at distant parts of the body, through activation of the somatostatin receptor subtype 4 (SST4). Based on this knowledge, A specific subgroup of neuropathies, immune axonal neuropathies are described in the review of Finally, the paper of Altogether, as a result of the common effort of the Frontiers in Pharmacology team and the five guest editors, a balanced collection of original and review papers have been included in the Research Topic. Nine articles originating from six different countries cover a wide thematic range focused around inflammatory processes affecting the central and peripheral nervous systems."}
+{"text": "Over the last few decades, various adsorption functions of polymer hydrogels for the removal of hazardous pollutants have been developed. The performance of hydrogel adsorbents depends on the constituents of the gels and the functions produced by the polymer networks of the gels. Research on hydrogels utilizing the characteristic functions of polymer networks has increased over the last decade. The functions of polymer networks are key to the development of advanced adsorbents for the removal of various pollutants. No review has discussed hydrogel adsorbents from the perspective of the roles and functions of polymer networks in hydrogels. This paper briefly reviews the basic requirements of adsorbents and the general characteristics of hydrogels as adsorbents. Thereafter, hydrogels are reviewed on the basis of the roles and functions of the polymer networks in them for the removal of hazardous pollutants by introducing studies published over the last decade. The application of hydrogels as adsorbents for the removal of hazardous pollutants is discussed as well. Conservation of water environments and water resources is a critical issue of this century. Efficient purification technology to reduce water pollution is essential, along with the promotion of reduced emission of pollutants. In the treatment and remediation of large water bodies, adsorption is an effective method for the separation of low-concentration pollutants. In the treatment of wastewater containing hazardous substances, the adsorption method is also a candidate process owing to its simplicity and cost-effectiveness. Various cost-effective solid adsorbents such as zeolites, activated carbon, modified clays, and ion-exchange resins have been developed for water treatment. Inevitably, the efficiency of the adsorption process relies on the performance of the adsorbent. Organic polymer hydrogels comprising a three-dimensional polymer network and a solvent have been shown to act as adsorbents for heavy-metal ions, dyes, and other organic hazardous pollutants because of their high performance, simplicity of use, and diversity in adsorbent design. Over the last few decades, the development of hydrogel adsorbents that effectively utilize the functions of polymer networks has increased ,4,5,6,7.In this short review, the basic requirements for adsorbents and the general advantages and challenges in the application of hydrogels as adsorbents are first reviewed. Then, the characteristics, advantages, and subjects of hydrogels as adsorbents are reviewed based on the roles and functions of the polymer network of gels, with an overview of studies published in the last decade. This review offers engineers and researchers an opportunity to gain more knowledge on hydrogels as adsorbent candidates.The design and use of adsorbents in the adsorption separation process are essential for adsorption separation technologies. Adsorbents that meet requirements like material cost, minimal environmental impact, stability, uptake rate, reusability, and adsorption capacity for target adsorbates will be selected in practice. In the modern design of adsorbents, the physicochemical structure of the adsorbent can be tailored to target pollutants. In the design of the adsorption separation process, the parameters of both the adsorption equilibrium and the mass transfer in adsorbents are crucial ,9. The aThe typical approach for improving the adsorption capacity is micronization and increasing the specific surface area of the adsorbents. Fibrization of adsorbents, as observed in non-woven fabrics, has also been used in recent years ,11. A coFrom an adsorption engineering point of view, the adsorption performance depends on operational conditions such as the adsorber reactor type, solid\u2013liquid ratio, and solution\u2013adsorbent contact time ,9. When Some adsorbents include a local gel phase. In most cases, only an adsorbent in which the entire adsorbent consists of a gel phase is called a gel adsorbent. Polymer hydrogels have several advantages in their application as adsorbents. The polymer networks create percolation pores with the desired solvent content and pore size. The specific surface area of polymer hydrogels is not typically discussed because of their network structure with a large amount of solvent. Open pores created by the polymer networks in the gels enable adsorbates to percolate deep inside the gels quickly, thus facilitating the adsorption capacity of the gels. Gels with high solvent content exhibit excellent diffusional permeability toward a range of substances. The diffusivity of solutes in gels has been extensively studied, both experimentally and theoretically. Various mathematical models used to determine the diffusion coefficient in gels have been developed and summarized in studies published in the 1990s ,17. NeveHowever, hydrogels have some drawbacks. Mechanical strength is a significant issue in many applications of the gels. The mechanical strength is an essential factor for the practical use of hydrogels. Thus, the strength of hydrogels has been improved by polymer selection and the structural design of polymer networks, such as the use of stiff polymers, an increase in the degree of polymerization, and the crosslinking method. Composites have successfully resolved the subject of strength through immobilization in a stiff porous matrix, the introduction of fiber materials such as nano-cellulose ,37,38, pApplications in which these functions are suited have been explored in many fields. Studies reviewing gel adsorbents in the last decade are introduced as follows.Naseem et al. (2018) reviewed microgels as adsorbents for the removal of aqueous pollutants such as heavy metals, nitroarenes, organic matter, and toxic dyes . The micMany studies on natural polymer gels as adsorbents have been reported. Various adsorbents using natural polymers and biomass, such as alginate ,43, chitLim et al. (2019) reviewed molecular gels as adsorbents for environmental remediation and water treatment and indicated the advantages of molecular gels with large selective capacities for pollutant sorption and recovery . MoleculHande et al. (2015) reviewed ion-imprinted polymer gels (IIPs) . MethodoSamiey et al. (2014) reviewed organic\u2013inorganic composite adsorbents for heavy-metal ions based on the composite structure of the adsorbents . The merPolymer gels as adsorbents were classified based on the roles and functions of the polymer networks in their applications as follows. The simple use of hydrogels is for the immobilization of supports and carriers. Even in this simple application of hydrogels, they have various advantages. The incorporation of diverse materials, simple solid\u2013liquid separation, stabilization of the immobilized substances maintaining high dispersion, accumulation and enrichment of target substances inside the gels, and the size control of stable solvent droplets with the size of gels are distinct advantages of the gels. The difference between hydrogels and emulsions or liquid immobilizing capsules is that water is immobilized in the polymer network with percolating open pores, and mass transfer across the surface of the gels is not restricted. The size of gels and pores are controllable, and mass transfer in the gels is not reduced, owing to the large amount of water and the percolating open pores in the hydrogels, which are also effective for the immobilized microorganisms and macromolecules, such as antibodies and enzymes, to maintain their activity over a long time. Furthermore, gels can produce a hierarchical reaction field because zoning of embedded substances can be achieved owing to the immobilization property of the polymer network.co-acrylonitrile) composite gel immobilizing magnetic CoFe nanoparticles for the removal of Cr3+, Cd2+, and dyes acrylamide) copolymer hydrogels [N-[3-(dimethylamino)propyl]methacrylamide (DMAPM)-co-N-tert-butyl acrylamide (TBAM) nanogels and applied them for the separation of carbon dioxide [N-isopropylacrylamide-N-tert-buthyacrylamide) copolymer gel slurry system [Ka shift is expected to yield a high-performance gel. To use this property, the mechanical strength of the gels to withstand repeated swelling operations is required. In addition, the gels must be micronized for a rapid response and adsorption. This process is energy-consuming when thermoresponsive gels are used because of the temperature-swing operation of the entire system. Therefore, it is crucial to devise methods to reduce energy consumption in practical applications. Effective utilization of the heat generated in chemical factories, steel mills, incinerators, etc. would increase the feasibility of these processes. Thin membranes fabricated on porous supports with nanosized particles of TBAM gels successfully achieved the energy-saving separation of carbon dioxide [Changes in the dissociation of ionic groups on the polymer networks occur depending on the volumetric change in the crosslinked polymer hydrogels. Weak acid-type or weak base-type ionic groups on the polymer chains undergo a shift in their dissociation equilibrium p the gel . This phydrogels . Honda e dioxide . Nagasawy system . A molec dioxide .3O4 nanoparticle-immobilized poly(3-acrylamidopropyl trimethylammonium chloride) microgels for the removal of AsO43\u2212 [3O4 nanoparticles effectively absorb oil spreading on the water surface, and the gels can be easily collected from the surface by the application of a magnetic field [Composite or conjugated forms of hydrogel adsorbents can increase the performance of the gel and the availability of the gels as adsorbents, considering the advantages of their use, cost, and material sharing from an ecological point of view. Adsorbents that exhibit advanced functions have been developed based on composite design. An example is the hydrogel embedding of magnetic nanoparticles . Solid\u2013lf AsO43\u2212 . The magic field . 2O), acrylamide\u2013acrylic acid sodium copolymer, and CuS for the storage of solar heat energy by light-to-thermal conversion developed light-to-thermal conversion phase-change composite hydrogels consisting of sodium acetate trihydrate matrix for immobilization of nano- and microsubstances, (2) scaffold for the strategic immobilization of functional groups, (3) stimuli-responsiveness of the polymer network, (4) contaminant uptake by self-assembly and gelation processes, (5) ionic and molecular imprinting, (6) integrated reaction field, and (7) dissociation control of ionic groups via volumetric control of the gel. Hydrogels have the diversity of creating various adsorbents suitable for capturing potential pollutants using the available functions as indicated in this review. Hydrogel adsorbents have the potential to create a functional adsorption process with a small environmental impact by integrating multiple functions into the gels. The variety of structural designs and functions of gel adsorbents would continue to expand their application. This is an era of comprehensive design of adsorbents and adsorption processes. In the life cycle of an adsorbent, green technology based on both adsorbent design and the optimum adsorption process is required. However, this effort is still in its infancy."}
+{"text": "The human microbiota is equivalent to the major organs of the adult human body like the brain and liver, in terms of weight ~1.5 kg) and functionality. The gut, oral cavity, skin, and vagina are major residing homes of the human microbiota. The human microbiota comprises bacteria, viruses, archaea, fungi, and protozoans. Recent studies have revealed the presence of functional microbiota in blood, atherosclerotic plaques, adipose tissues, and other organs. Microbiota and their metabolites play a key role in insulin resistance, atherosclerotic plaque formation, inflammation, oxidative stress, and the metabolism of drugs and chemicals is becoming predominant among heart failure conditions. Hence, Shen et al. review its relationship with gut microbiota. A wide range of data on different microbial metabolites such as short-chain fatty acids, trimethylamine-N-oxide, and their molecular pathway leading to thrombus formation are discussed. In addition, the future therapeutic perspectives based on intervention in microbiota are elaborately presented.Atherosclerosis is the thickening of the blood vessel that aids different cardiovascular diseases. Aside from the different molecular pathways proposed for the formation of atherosclerotic plaques, recent research also suggests the role of microbial metabolites in this process . The bloYang et al. employed the in vitro and mice models to investigate the impact of Chinese rice wine metabolites on gut microbiota and subsequent impacts on diabetic cardiomyopathy. The mice treated with rice wine polyphenols and polypeptides led to a proliferation of Akkermansia and depletion of Desulfovibrio genera. A significant correlation was observed between the cardiac markers and microbiota profile, indicating the microbiota-mediated therapeutic impact.Dietary exposure, environment, and host genetics are the key players in shaping the microbiota of a human . The impIonescu et al. provide a comprehensive review of the studies related to microbiota and miRNAs and propose the mechanisms for the synergism between gut microbiota and host miRNAs during cardiovascular diseases.The gut microbiota interacts with numerous host factors and thereby influences host physiology and pathology. Numerous studies have revealed the role of microRNAs (miRNAs), the small, non-coding RNAs of mammalian origin that negatively regulate gene expression at the post-transcriptional stage. During the past decade, several studies have revealed the role of gut microbiota and miRNAs in different cardiovascular diseases . IonescuShanmuganathan et al. investigate the variation in the microbiota of human intervertebral disc tissue of healthy donors and patients with cardiovascular diseases undergoing surgery. The study reveals the abundance of proteobacteria (particularly the Pseudomonas genus) and firmicutes phyla in the degenerated disks. There is a significant loss in microbial diversity with an abundance of pathogenic bacteria in the degenerated disks.Recent studies explored the presence of microbiota in traditionally considered sterile tissues such as the liver, pancreas, breast tissue, and bone in both healthy and cancer tissues . In contOverall, this Research Topic provides different dimensions on the role of human microbiota during cardiovascular and other metabolic diseases. The major drawback in microbiota and disease studies is the non-exploration of the chicken and egg hypothesis, i.e., the cause and effect. At this moment, further studies are needed to explore the etiology of changes in the microbiota. We are hopeful that microbiota-based therapeutic approaches discussed here including fecal microbiota transplantation, probiotics, and prebiotic intervention with plant-derived metabolites will evolve into routine clinical practice in the near future.All of the contributors contributed to the Editorial process and approved this Editorial article."}
+{"text": "A mental health (MH) assertive community treatment (ACT) is always designed expecting for a decrease in the pressure (visits and readmissions) in inpatient services and to increase care quality. An appropriate management of ACT provision can be crucial to develop a balanced community-based MH ecosystems.To assess the impact of the ACT on the performance of the MH ecosystem of Bizkaia .The ecosystem is structured by 19 MH areas, supported by 5 ACT teams. Here ACT provides high intensity mobile outpatient care to people suffering from severe mental disorders. The impact of these teams on the ecosystem performance was assessed by Monte-Carlo simulation, the Data Envelopment Analysis (DEA) and fuzzy inference. The input variables were the availability, number of psychiatrics, nurses and total of professionals of ACT services in each area. The outputs were: frequentation, incidence and prevalence of ACT services in each MH area. Performance indicators were: relative technical efficiency (RTE), statistical stability and entropy.The global ecosystem performance was high , the stability was medium-low and the entropy was medium-high .Results highlighted a positive impact of ACT in Bizkaia. Nevertheless, stability and entropy levels showed the existence of a high structural variability in ACT services due to the necessity of adjusting them to the user\u2019s specific needs.No significant relationships."}
+{"text": "GNAS and TP53 mutations, and the diagnosis of OS arising from FD was strongly supported. This case highlights the characteristic images and molecular features of the malignant transformation of FD.Fibrous dysplasia (FD) is a benign fibro-osseous lesion that frequently involves the craniofacial bones and femur. Malignant transformation of FD is a rare occurrence. We report a 38-year-old woman with osteosarcoma (OS) arising from FD of the femur. Magnetic resonance imaging revealed a well-defined lesion in the medulla of the femur, with cortical thinning and local bone destruction. Wide excision of the femur was performed. Grossly, the inner part of the mass was hard and tan-gray in color, and the outer part of the mass adjacent to the cortex showed myxoid discoloration with infiltrative borders. Microscopically, most of the tumor consisted of curvilinear woven bone and fibrous stroma with bland spindle cells, which transitioned to the outer portion of the tumor, showing cellular proliferation of pleomorphic cells with frequent mitotic activity. Next-generation sequencing revealed"}
+{"text": "In conclusion, the presence of OSA does not increase the need for glaucoma management.We try to evaluate glaucoma management numbers in patients with both glaucoma and obstructive sleep apnea (OSA) using the National Health Insurance Research Database (NHIRD) of Taiwan. A retrospective cohort study was conducted and patients with glaucoma were enrolled and divided into the OSA and non-OSA populations. A total of 11,778 participants were selected in both the OSA and non-OSA groups. The primary outcomes were the number of anti-glaucomatous medications each year and the total number of glaucoma laser and glaucoma surgeries. The Cox proportional hazard regression was utilized to produce the adjusted hazard ratios (AHR) with corresponding 95% confidence intervals (CI) between the two groups. After a study period of 18 years, 286 and 352 events of laser and surgeries for glaucoma were found in the OSA and non-OSA groups, respectively. After considering the effect of potential confounders, no significant difference concerning the numbers of laser trabeculoplasty, trabeculectomy and tube shunt surgery, cyclodestructive procedure and eyeball removal were found between the two groups . In addition, the multiple anti-glaucomatous medication usages were similar between the two groups (all Glaucoma is a prevalent ocular disease that causes large numbers of visual impairments and legal blindness worldwide ,2. AccorRegarding the risk factors of glaucoma, old age is a well-established predisposing factor for glaucoma, and individuals aged older than 40 years are under a higher risk of glaucoma development and the prevalence of glaucoma reached 3.3% percent in those aged more than 70 years old ,7,8. RefObstructive sleep apnea (OSA) is a disease resulting from impaired ventilation , which cThe purpose of the current study is to survey the management numbers of glaucoma between OSA and non-OSA patients using the National Health Insurance Research Database (NHIRD) of Taiwan. The management of glaucoma is based on the number of anti-glaucomatous medications, arrangement of laser treatment and performance of glaucoma surgery.The NHIRD contains claims data of the National Health Insurance of nearly all inhabitants in Taiwan between 1 January 2000 and 31 December 2018. Our study obtained these data from the Longitudinal Health Insurance Database 2005 (LHID 2005), which is a sub-database of NHIRD and contains the records of nearly 2 million patients, which were randomly sampled from the NHIRD registry in the year 2005, and their data were connected from 2000 to 2018. Both the Ninth and Tenth Revisions of International Classification of Diseases were used for disease diagnosis in the NHIRD/LHID 2005. The accuracy of diagnosis is dependent on the physicians who enter the codes, and the system also provides the demography, time of medical visit, department codes, insurance codes of examination and codes of medications.We defined individuals as having glaucoma if their medical documents revealed (1) the presence of a glaucoma diagnosis; (2) the arrangement of intraocular pressure (IOP) measurement before glaucoma diagnosis; (3) the arrangement of visual field test, optical coherence tomography or fundoscopy before or on the same day of glaucoma diagnosis; and (4) the receipt of glaucoma diagnosis in ophthalmic outpatient department (OPD) and received treatment by an ophthalmologist. The index date was the date that the glaucoma diagnosis was entered into the NHIRD/LHID 2005. The exclusion criteria in this study were illustrated as follows: (1) receipt of legal blindness diagnosis before the index date; (2) receipt of an ocular tumors diagnosis at any time; (3) receipt of endophthalmitis or severe ocular trauma diagnoses at any time; and (4) outcome develops before the index date. Then, the patients with OSA were selected from the whole glaucoma population based on these criteria: (1) the presence of an OSA diagnosis, (2) the arrangement of polysomnography before the OSA diagnosis, and (3) the OSA diagnosis was entered by a thoracologist, otorhinolaryngologist or neurologist. After that, each individual with both OSA and glaucoma was matched to one glaucoma patient without OSA via the propensity score-matching (PSM) method according to demographic data, co-morbidities and medications listed in the following sections, and the non-OSA population constructed the control group. Subjects in the OSA group that could not be matched to one non-OSA patient were excluded from this study. A total of 11,778 patients were enrolled in both the OSA and non-OSA groups after the selection process. In addition, participants in the study population were categorized into OAG, NTG and ACG subgroups according to the diagnostic codes and differences in outcomes of these subgroups between OSA and non-OSA populations were analyzed. The flow chart of subject selection is revealed in The performance of glaucoma treatments, which were the primary outcome of our study, was defined as the following: (1) the number of topical anti-glaucomatous medications used, which included beta-blockers, alpha agonists, carbonic anhydrase inhibitors, prostaglandin, and miotic agents; (2) the arrangement of laser trabeculoplasty; (3) the arrangement of trabeculectomy and tube shunt surgery; (4) the arrangement of cyclodestructive procedure; and (5) the arrangement of eyeball removal. To prevent the overestimation of the primary outcome, the primary outcome was considered to develop only in patients who received introductory diagnostic codes, medical prescriptions and surgical treatments from an ophthalmologist.To make secure that the health status and the potential risk factors of advanced glaucoma between the OSA group and non-OSA group are sufficiently comparable, we investigated the influence of enrollment years, age, sex, urbanization, education level, and the following morbidities and medications in the multivariate model: hypertension, DM, ischemic heart diseases, hemodialysis, cerebrovascular disease, uveitis, cataract, refractive error, and steroid application including topical and systemic prednisolone, methylprednisolone, hydrocortisone, triamcinolone and dexamethasone. We longitudinally followed the data from the index date until the date of each outcome achievement, subject withdrawal from the National Health Insurance program, or till the end date of NHIRD/LHID 2005, which is 31 December 2018.p < 0.05, and p values less than 0.0001 were presented as p < 0.0001.The SAS version 9.4 was applied for all the analyses. After PSM of the OSA and non-OSA groups at a 1:1 ratio, descriptive analyses were used to show the difference of basic characters between the two groups, and the absolute standardized difference (ASD) between the two groups was also calculated and an ASD < 0.1 was regarded as a similar value. Then, the incidence rate and the adjusted hazard ratios (AHR) with corresponding 95% confidence intervals (CI) of primary laser and surgical outcome between the two groups were yielded through Poisson regression and Cox proportional hazard regression. The Cox proportional hazard regression incorporated the demographic data, systemic comorbidities, ocular comorbidities and steroid utilization. In the subgroup analyses, we stratified the OSA and non-OSA groups via age, gender, glaucoma subtypes , the duration of OSA, and the presence of OSA-related surgery . We then compared the incidence of laser trabeculoplasty, trabeculectomy and tube shunt surgery, and cyclodestructive procedure via the Cox proportional hazard regression again. Of note, the eyeball removal was not compared at this stage due to insufficient patient numbers. We produced the Kaplan\u2013Meier curve to illustrate the cumulative incidence of laser and surgical management between the two groups, and used log-rank test to determine the significance between two survival curves. For the anti-glaucoma medications, the percentage of any anti-glaucomatous medication usage and the percentage of more than one type of anti-glaucomatous medication applications between the two groups in every year was analyzed via independent T test and presented as a line chart. The statistical significance was regarded as The baseline characteristics between the OSA and non-OSA groups are shown in p > 0.05). Regarding the numbers of anti-glaucomatous medications, both the percentage of any anti-glaucomatous medication usage and the percentage of multiple anti-glaucomatous medications application showed similar values between the OSA and non-OSA groups .In the subgroup analyses, the glaucoma patients aged more than 60 years and with OSA received significantly fewer trabeculectomy and tube shunt surgery compared to the glaucoma patients aged more than 60 years without OSA . However, the incidence of glaucoma laser and surgical managements demonstrated similar values in all other subgroups stratified via age, gender, glaucoma subtype including the OAG, NTG and ACG, OSA duration, or presence of OSA-related surgeries .In our study, we found that co-existing OSA in glaucoma patients does not increase the incidence of advanced glaucoma management such as laser treatment and glaucoma surgery. Moreover, the percentage of patients with more than one anti-glaucomatous medication usage is similar between the OSA and non-OSA populations. On the other hand, the ratio of trabeculectomy and tube shunt surgery is lower in those glaucoma individuals with OSA and aged more than 60 years old.The association between OSA and glaucoma has been evaluated for decades . GeneralThe current study illustrated that the percentage of multiple anti-glaucomatous medication applications, the incidence of glaucoma laser therapy, and the ratio of glaucoma-related surgeries are similar between the OSA and non-OSA groups after adjusting multiple potential risk factors including steroids. To our knowledge, few studies have surveyed this issue concerning glaucoma severity and concurrent OSA before. Although some studies have proposed that glaucoma severity was associated with OSA ,21,22, tIn the subgroup analyses of this study, the impact of OSA on glaucoma management did not alter with different conditions. The only significant finding is the lower incidence of trabeculectomy and tube shunt surgery in the OSA population older than 60 years old than in the non-OSA population with the same age interval. The possible explanation is that the OSA-induced ocular surface irritation and retinal diseases meant that the patients came to the ophthalmic department more frequently ,32, and Regarding the demography between the OSA and non-OSA groups, the majority of covariates revealed similar distribution between the two groups even though OSA was diagnosed more commonly in males and those with metabolic disorders ,35,39. TThere are several limitations presented in the current study. Firstly, the claimed database nature of our data source meant that many important indexes could not be accessed, which included the polysomnography results throughout the OSA management, the application of continuous positive airway pressure device, the arrangement of weight-loss therapy, the details of the OSA treatment course, the results of glaucoma-related examination including the visual field optical coherence tomography, the fluctuating of IOP after treatment in both the OSA and non-OSA groups, the controlling of IOP and glaucoma damage progression after glaucoma management, and the exact severity of glaucoma and other ocular diseases. Because the IOP value was unknown in the NHIRD/LHID 2005 and the main mechanism of OSA-related glaucoma could be hypoxia and ischemia ,13,19, wIn conclusion, the presence of OSA does not affect the management numbers of glaucoma concerning anti-glaucomatous medications, laser treatments and glaucoma-related surgeries. Furthermore, the insignificant effect of OSA on glaucoma management is universal in different types of glaucoma including OAG, NTG and ACG. Consequently, the therapeutic program of newly diagnosed glaucoma should not be altered in those with OSA. A further large-scale prospective study to evaluate the effect of continuous positive airway pressure devices on the severity and management of glaucoma in OSA individuals is mandatory."}
+{"text": "Globally, cancer ranks among the most common causes of death, especially among people under 70 years of age . With thAfrica is considered the most vulnerable continent in the world with regards to the availability of resources for optimal health care provision and comprises about 85.2% of countries that belong to the low-income/lower-middle-income economies . Also, mWe examine the implementation status of AI platforms for cancer outcomes in Africa and provide pointers that could maximize their utilization.The uptake of technology-driven systems available in developed regions is slower in Africa than in other parts of the world, as these platforms are often generated from integrative variables that may not be available for external validation and clinical application in many African settings. For oncology, this may be further challenged by the variation in molecular or etiological subtypes, as well as infrastructural and ethnocultural peculiarities of cancer management in the African region ,8. A preGenerally, the development of AI tools for assisted decision-making among patients with cancer in Africa can be considered a recent endeavour, with many models being reported from 2018 (Relative to the different subregions in Africa, the pattern of AI penetrance mirrors the ongoing economic and infrastructural development in the continent ,27. As sMoreover, oncological AI-based models in Africa were being considered for outcome determination among patients with breast, cervical, and colorectal carcinomas (The technical aspects of the development and validation of cancer-related AI models in Africa is generally satisfactory (The performances of the set of models proposed for use in African oncological settings so far were satisfactory to excellent upon validation -12,14,18Applying AI in developing credible tools for the prediction of cancer outcomes in Africa is a relatively recent endeavour. Model construction in the continent reflected the degree of technological advancement among the nations, as well as the availability of electronic health records and digitized clinical investigations. None of the models developed locally and internationally have been assessed for their impact and efficiency in automated assistive clinical decision-making and risk stratification. Hence, this should represent the phase of AI implementation to be addressed soon, especially in numerous remote areas of the low- and lower-middle-income areas. Likewise, for these settings, it is expected that the future will see the integration of AI-based prediction and other digital health technologies to mitigate the challenges of reduced manpower, substandard facilities, and lack of access to care currently experienced in cancer diagnosis and management in Africa."}
+{"text": "Even though numerous studies on the systemic administration of antimicrobial drugs can be found in the literature, they still have many shortcomings related to the site-specific drug delivery, unwanted side effects and even potential toxicity. To overcome the above limitations, it is necessary to explore new approaches for the administration of active principles with antimicrobial properties.In this Special Issue, original papers have been published that bring new perspectives in the development of novel pharmaceutical formulations for antimicrobial applications. Active principles with antimicrobial properties, such as antibiotics ,2,3,4,5,A first study, in which the Chapman University School of Pharmacy, Chapman University Irvine, USA and the Department of Ophthalmology School of Medicine, University of Pittsburgh School of Medicine, USA collaborated, was designed to evaluate the stability of vancomycin eye drops in normal saline solution, phosphate-buffered saline (PBS) and balanced salt solution (BSS), while being stored for 7, 14 and 28 days at room temperature or refrigerated [Two other research teams from the Interdisciplinary Excellence Centre, Faculty of Pharmacy, Institute of Pharmaceutical Technology and Regulatory Affairs, University of Szeged, Hungary and the School of Engineering, Institute for Materials and Processes, University of Edinburgh, UK studied the preformulation of poly(vinylpyrrolidone)-based nanofiber mats loaded with ciprofloxacin (CIP) for oral administration . The aimAnother study involving researchers from Turkey, UK and Romania presents the fabrication of bacterial cellulose (BC)/polycaprolactone (PCL) patches loaded with different antibiotics (amoxicillin (AMX), ampicillin (AMP) and kanamycin (KAN)) for transdermal delivery . The obtC. trachomatis serovar D laboratory strain and the clinical isolate C. trachomatis serovar F. All tested liposomes efficiently delivered AZT to HeLa 229 cells infected with the laboratory Chlamydia strain, showing minimum inhibitory concentrations (MICs) and minimum bactericidal concentrations (MBCs) of AZT even 4\u20138 times lower than those obtained with free AZT. Also, AZT-loaded liposomes were effective against the clinical Chlamydia strain by decreasing the MIC values by two-fold compared to free AZT.A multidisciplinary research team from Hungary and Croatia managed to prepare and test several new formulations based on elastic liposomes loaded with azithromycin (AZT), which differ in surface charge . Their aThree Research Institutes from M\u0103gurele, Romania and three other Departments from the Faculty of Biology, University of Bucharest, Romania developed composite materials based on bioglass/ciprofloxacin/poly(methyl methacrylate) as multifunctional thin films for hard tissue implants . BrieflyCandida albicans infection.A stable and highly skin-permeable topical delivery system for itraconazole (ITZ) was obtained and tested by a multidisciplinary research team in Korea . This toAnother study that sought to obtain pharmaceutical formulations based on antifungal drugs was published following collaboration between researchers from Saudi Arabia and Ethiopia. Butenafine hydrochloride nano lipid carrier (NLC) formulations were obtained and optimized . The optLactobacillus acidophilus, Bifidobacterium animalis) combined with actives from Helianthus tuberosus and Plantago ovate as herbal prebiotics. The results obtained are encouraging and attest to the great potential of the obtained nutraceutical formulations for their designated purposes, recommending them for further in vivo studies.As is known, modulation of the immune system refers to a certain alteration in the immune response in the form of stimulation, amplification, expression or inactivation of some stage of the immune response. A material which exhibits a modifying immune system response to a threat is an immunomodulatory and this concept currently underlies the development of functional foods. The study of a group of researchers from Romania aimed toS. aureus and K. pneumonia, but low activity for P. aeruginosa and E. coli, and may be considered non-cytotoxic. The swelling behavior, the mechanical properties, and the antimicrobial activity recommend the use of this biocomposite in biomedical applications as wound or oral dressings.Another group of Romanian researchers proposes a new type of full-IPN hydrogel, based on chitosan and poly, obtained by combining two cross-linking methods: covalent and physical. In fact, the authors obtained a biocomposite consisting of silver nanoparticles dispersed in the matrix of IPN, designed to exert a synergistic antimicrobial activity through the action of both chitosan and silver . The bioS. aureus, E. coli, and K. pneumonia.The same type of matrix (with hydrogel character), but covalently cross-linked with glutaric aldehyde, was used to disperse ZnO particles in order to obtain a biocomposite proposed for the treatment of bacterial infections . The incA review discusses the possibility of using plant materials in the management of many inflammatory diseases, including periodontitis\u2014one of the most serious oral diseases which affects tissues, being caused by pathogenic bacteria and environmental factors . It is wStaphylococcus aureus and Escherichia coli, and high selective antiviral activity against the H1N1 influenza virus, with minimum host toxic effects.In another paper of this issue, harmala alkaloid-rich fraction (HARF) (which is hydrophobic) was included in 2-hydroxy propyl-\u03b2-cyclodextrin to obtain a host\u2013guest complex; by doing so, the water solubility and bioavailability of HARF was improved . The com2 and grafted with poly [Escherichia coli was eradicated at pH 6\u20137 and humidity 45\u2013100%, conditions in which most bacterial and fungal strains thrive.The last paper of the issue concerns the preparation of ligand brush nanocapsules, based on poly(vinyl pyrrolidone), coated with SiOum salt) . The ligPharmaceutics, titled Pharmaceutical Formulations with Antimicrobial Properties, are researchers with decades of experience in the field of controlled drug release, and they consider these articles reporting recent results concerning the obtaining of polymer\u2013drug systems, their properties and their biomedical applications justified and useful.The editors of this Special Issue of Pharmaceutics with the results of their recent research.The editors express their gratitude for the kindness and cooperation of the contributors, who are reputable researchers in the field and have responded to our call to contribute to this Special Issue of"}
+{"text": "Sensitive indicators of nursing quality focus on the core elements of nursing quality management. Nursing-sensitive quality indicators will play an increasingly important role in the macro and micro management of nursing quality in my country. This study were aimed at formulating the sensitive index management of orthopedic nursing quality based on individual nurses for improvement of the quality of orthopedic nursing. Based on the previous literature, the existing challenges in the early application of the orthopedic nursing quality evaluation index were summarized. Moreover, the management system of the orthopedic nursing quality-sensitive index based on individual nurses was devised and implemented, including monitoring the structure and result indices of individual nurses on duty and sampling the process indicators of patients managed by individual nurses. At the quarter-end, the data analysis was performed and fed back to determine the key points of the changes in the quality of specialized nursing affecting the individual, and the PDCA method was utilized for persistent improvement. The changes of sensitive indices of orthopedic nursing quality before (July-December 2018) and 6 months after implementation (July-December 2019) were compared. P < 0.05). There were significant differences in other indices ( The formulation of an individual-based orthopedic nursing quality-sensitive index management system modifies the traditional quality management model, improves the specialized nursing level, contributes to the accurate core competence training of specialized nursing, and improves the quality of specialized nursing of individual nurses. Consequently, there is an overall improvement in the specialized nursing quality of the department, and fine management is attained. The sensitive indicators of nursing quality are nursing guidelines, regulations, procedures and methods formulated according to the content, characteristics, processes, management requirements of nursing work, and the characteristics and needs of nursing staff. Sensitive indicators of nursing quality are also yardsticks for measuring nursing work. The establishment of a systematic, scientific, and advanced nursing standardization system is conducive to improving the quality of nursing and nursing management and promoting the development of nursing disciplines and the training of nursing talents. On the basis of the above standards, each hospital formulates basic nursing quality standards, critically ill patient nursing quality standards, nursing documentation quality standards, and other standards but lacks specialist nursing quality standards. In the field of orthopedic nursing, domestic and foreign countries only focus on the evaluation of certain orthopedic diseases or individual nursing problems and lack comprehensive and overall orthopedic nursing quality standards. Sensitive indicators of nursing quality focus on the core elements of nursing quality management, and nursing-sensitive quality indicators will play an increasingly important role in the macro- and micromanagement of nursing quality in my country. Quantitatively identify nursing practices that are most relevant to patient outcomes in an effort to improve patient safety and quality of care , 2. The Previously, indicator management was based on the integrity level of wards, departments, and hospitals \u20138; howevThe Department of Orthopedics of our hospital is a national key construction discipline, integrating trauma, joint, and spine surgeries, bone oncology, microsurgery, sports medicine, and other specialized disease treatment disciplines. Seventy-seven orthopedic nurses were included as the study participants, with the age ranging from 22 to 42 years; title: one deputy chief nurse (1.30%), 13 chief nurses (16.88%), 51 nurse practitioner (66.23%), and 12 nurses (15.58%); working years: 29 (37.66%) with <5 years, 30 (38.96%) with 5\u2013 10 years, seven (9.09%) with 11\u2013 15 years, and 11 (14.29%) with >15 years; and posts: 19 nursing team leaders or specialized nurses (24.68%), 22 senior nurses (28.57%), and 36 junior nurses (46.75%).The following are the inclusion criteria: (i) clinical practical nurses registered with the Provincial Health Commission, (ii) clinical practical nurses registered with the Provincial Health Commission, (iii) clinical practical nurses registered with the Provincial Health Commission, with at least orthopaedic nursing work (1 year). The following are the exclusion criteria: (i) nursing managers (head nurses), nurses without a nursing practice certificate were excluded; (ii) working in orthopaedics for <1 year, with long-term leave; and (iii) sick leave, maternity leave; or studying abroad for more than 15 days (nurse).P < 0.05). Structural indicators Establishment of a Specialist Nursing Quality Control Group. In January 2019, a specialist nursing quality control group was established. The group members comprised the department nursing director, district nursing director, and specialist nurses, with a total of 10 members. The inclusion criteria for team members were bachelor degree or above; rigorous scientific fact-finding attitude; rich nursing expertise, strong thinking, and judgment; experience in nursing quality evaluation; 10 or more years of experience in orthopedic nursing or management; and intermediate level or above. The responsibilities of the team members include organizing core competency training based on sensitive indicators and performing individual nursing quality personalized management for individual nurses based on sensitive indicators.(2) Core Competency Training Based on Sensitive Indicators. The core competency training of orthopedic nurses includes the theoretical knowledge and practical skills related to sensitive indicators which are included as important elements of clinical practice competency. From January to March 2019, pretraining on personalized management of nursing quality of orthopedic nurses is organized and implemented. Content of the training included overview and interpretation of orthopedic nursing quality sensitive indicators, the connotation of indicators theoretical knowledge, nursing processes, and standards and application of orthopedic nursing quality sensitive indicators for nursing quality management; methods of training and assessment: theoretical lectures, case teaching, operation demonstrations, business visits, objective structured clinical examinations, skill training, and assessment; training hours: 120\u2009h/person.(3) The Specialist Nursing Quality Control Team Performing Individualized Monitoring and Improvement of Indicators. Individualized monitoring of structural indicators (nurse-patient ratio) and some outcome indicators are conducted, that is, monitoring the nurse-patient ratio and outcome indicators during the shift of the responsible nurse. Patients who were under the charge nurse's supervision throughout the hospital stay were monitored for outcome indicators (patient satisfaction at discharge). To investigate satisfaction, the hospital's revised \u201cPatient Satisfaction Questionnaire\u201d was distributed at the time of discharge, which included patient satisfaction with the medical environment, quality of care, professional skills of nurses, and service attitude of nurses. The survey forms were placed in the satisfaction survey box by patients or family members to reduce human interference factors. The process indicators including accuracy of blood circulation assessment in limbs, the accuracy of neurological function assessment, the accuracy of pain assessment, the passing rate of postural care, and accuracy of rehabilitation behavior training of the patients under the charge of this responsible nurse were sampled, and record forms were filled out. Moreover, members of the quality control team served as quality inspectors, and each nurse was continuously sampled for each indicator five times/quarter, and the total number of times each nurse sampled for the five indicators was 25 per quarter. The quality of the nurses' process of implementing specialized care was assessed to determine if the content was comprehensive, the method was correct, and the results were consistent with the quality inspector's evaluation. When the two evaluation results were inconsistent, another quality inspector made a judgment, and if necessary, the competent professor of the patient was asked to implement the evaluation and provide guidance.Quarterly data entry of quality evaluation was performed to establish a database of sensitive indicators of orthopedic nursing quality based on individual nurses. At the end of each quarter, the quality management team analyzed the above data by calculating each nurse's indicator value, comparing the growth rate of each nurse's indicator value to the previous quarter, comparing the difference in indicator values between nurses at the same level of position, comparing the difference between each nurse's indicator value and the indicator target value for nurses in the same level of position, and providing feedback to the individual nurse on the results of the analysis and the individual finding the impact of individual specialty nursing The results of the analysis are fed back to the individual nurse, and the individual identifies priorities for continuous improvement that affect individual specialty care changes. Simultaneously, targeted training is provided at the ward and unit level for nurses with large differences in indicator values and fluctuating indicator values, and specialty nursing core competency training is implemented based on individual nurses. For example, the pain assessment accuracy of a nurse's patients was the lowest among the process indicators and lower than the pain assessment accuracy of nurses in the same level of positions. The individual detected that the reasons affecting his low pain assessment accuracy were his lack of mastery of the use of different pain assessment scales, subjective judgment during pain assessment, and lack of timely assessment after implementing pain interventions. The individual proposed improvement measures, including changing the concept of pain, believing in the patient's chief complaint, learning relevant knowledge, and writing a case report on pain assessment in conjunction with the case; asking the district nurse manager or pain specialist nurse for bedside guidance; and self-evaluating the accuracy of pain assessment and comparing it with the evaluation results of the QI officer.\u03c72 test was used to compare the differences between the two groups with a test level of \u03b1 = 0.05. The types of diseases in which nurses performed care before and after implementation included extremity fractures, multiple injuries, pelvic fractures, brachial plexus injuries, hand trauma, osteoarthritis of the knee, femoral head necrosis, femoral neck fractures, femoral trochanter fractures, knee ligament injuries, knee meniscal injuries, lumbar disc herniation, cervical spondylosis, scoliosis, spinal cord injury, spinal fracture, extremity bone tumor, and sacral tumor. The differences in patients' sex, age, diagnosis, surgery, and condition classification were comparable and not statistically significant (P > 0.05). The results of the discharge patient satisfaction survey were selected for statistical analysis from the questionnaires completed by patients who had implemented the process index evaluation.Statistical analysis was performed using SPSS 20.0 software to compare changes in orthopedic nursing quality sensitivity indicators before implementation (July-December 2018) and 6 months after implementation (July-December 2019). Percentages were used for descriptive analysis and the P > 0.05). The incidence of external fixation complications in high-risk patients was 0.65%, the incidence of deep vein thrombosis was 0.52%, and the incidence of respiratory obstruction was 0.13%. In high-risk patients, the incidence of deep vein thrombosis was 0.13% and the incidence of respiratory obstruction was 0. Comparing the process indicators of nurse management at different levels with the results of patient discharge satisfaction, all indicators except the accuracy rate of neurological function assessment of patients in the nursing management of level 3 and the satisfaction rate of discharged patients from nursing group leaders or specialist nurses have statistics difference in science (P < 0.05). See Tables 2There was no significant difference in the nurse-patient ratio of nurses in charge of the same post before and after the intervention (With the gradual formation of a consensus on the concept of \u201cevidence-led improvement to replace evidence-based management,\u201d nursing-sensitive quality indicators will play an increasingly important role in the macro- and micromanagement of nursing quality in my country . In receOur study found no statistically significant difference in the proportion of nurses and patients in the same post before and after the intervention. The incidence of external fixation complications in high-risk patients was 0.65%, the incidence of deep vein thrombosis was 0.52%, and the incidence of respiratory obstruction was 0.13%. In high-risk patients, the incidence of deep vein thrombosis was 0.13% and the incidence of respiratory obstruction was 0. The reason for the analysis is as follows: Because of the relatively stable nurse-to-patient ratio, the level of professional care in the department is reflected in the difference between the quality of the process and the outcome . The evaOur study found that when comparing the process indicators of nurse management at different levels with patient discharge satisfaction outcomes, all patients except for the accuracy of neurological function assessment and patient satisfaction at discharge from nursing group leaders or specialist nurses in level 3 nursing management All indicators were statistically different. The reasons for the analysis are as follows: the assessment and management of nursing quality should be based on professional standards of nursing . NursingBased on individual nurses, this study implemented the management of sensitive indicators of orthopaedic nursing quality, and further explored the application value of sensitive indicators of specialized nursing quality. Facts have proved that both managers and individual nurses can accurately find the weak links in nursing according to the changes in the indicator data, thereby improving the professional nursing quality of individual nurses, thereby improving the overall professional nursing quality of the department, and achieving refinement. This study was limited to the orthopaedic ward in our hospital, and future research may include a multicenter study to further improve the management of sensitive indicators of orthopaedic care quality based on individual nurse practice."}
+{"text": "The main components in the machine complexes responsible for generation and functions of these epi-markers have been characterized in recent years. These components display tissue-specific and delicate spatiotemporal patterns, and their fine-tuned orchestration contributes to the precise and dynamic regulation of the epigenomic and the epitranscriptomic landscapes, ensuring the normal growth, development, and reproduction. More importantly, the emerging evidence links the aberrant regulation of these epi-markers to pathogenesis of multiple diseases, potentially translatable to clinical applications for therapy.Dynamic and precise regulation of gene expression is orchestrated genetically and epigenetically in accordance with developmental stages and in response to environment stimuli. Aberrant genetic or epigenetic events could devastate gene expression, contributing to pathogenesis of disease. Epigenetic markers of base modifications such as 5-cytosine (5-mC), 5-hydroxycytosine (5-hmC) and adenosine methylation mThis Research Topic mainly focuses on the epigenomic and epitranscriptomic basis of human diseases. The aim of the topic is to provide a broad overview of current research on epigenetic aspect of development and pathogenesis of human diseases.Xu et al., found that deficiency in TET1, one of the erasers for base demethylation impairs learning and memory. In addition to neurological disorder, methylation status is also linked to cancers. One research article addresses the critical role of histone methyltransferase KMT5B on initiation of glioblastoma (GBM) via epigenetically regulating a subset of GBM-related genes associated with hypermethylation and 5-hmC loss of genomic DNA Lopez et al.Total 13 of articles published in this Research Topic focus on epigenetic regulation of learning and memory, immunological functions, and tumorigenesis. Two of them are related to base modification and human disease. Wang et al. found that dynamic histone modifications could activate a subset of genes involved in lipogenesis, energy metabolism and inflammation under the high-fat diet (HFD) conditions, addressing the contribution of the eating habits to the related pathology via histone modification.Histone modifications are associated with lipogenesis and obesity by repression or activation of gene expression. Two research articles are related to the link of histone modifications with metabolic disorders and autophagy involved in pulpitis. Yin et al., screened several groups of writers and erasers for histone methylations under TNF\u03b1 treatment, providing important information on the epigenetic regulation of autophagy genes during pulpitis, and more importantly this study could be translated to a novel clinical therapy.Autophagy is regulated epigenetically as well during development. epigenomic and epitranscriptomic basis of development and human diseases.As a summary, the research and review articles published in this Research Topic provide important scientific information in a convenient manner that is targeted toward readers with interest in the"}
+{"text": "This Frontiers in Veterinary Science Women in Veterinary Neurology and Neurosurgery collection of scientific articles presents the innovative work of female neurologists working in the UK, Europe, and North America. The series comprises 13 articles showcasing original research and case reports in various fields of Veterinary Neurology and Neurosurgery, including advances in diagnostic imaging techniques and novel neurosurgical procedures.Boudreau et al. describes DWI MRI findings of spontaneous canine CVA in relation to the time of clinical onset, the DWI type (EPI vs. non-EPI), and the presence or absence of a haemorrhagic component of the lesion. The results of this study help to inform the appropriate clinical interpretation of these sequences by veterinary neurologists and neuroradiologists.Diffusion MRI is a specific sequence that detects and quantifies water diffusivity, which is the molecular motion (Brownian movement) of water and represents an intrinsic feature of tissues. Diffusion-weighted imaging (DWI) and apparent diffusion coefficient (ADC) are MRI sequences routinely used in the diagnostic investigation of suspected cerebrovascular accidents (CVA) in people . There iRemelli et al. highlights the usefulness of low and high-field MRI in complementing clinical and laboratory findings in the diagnosis of SRMA. In this retrospective study, including 70 dogs with SRMA, the MRI showed abnormalities in 98.6% of dogs, with the majority (87.1%) being MRI features suggestive of meningeal inflammation. T1W FAT-SAT sequences were particularly useful in detecting meningeal enhancement. In addition, the contrast enhancement of the synovium of the cervical articular facets and the epaxial muscles was detected in 48.6% of dogs.Steroid-responsive meningitis-arteritis (SRMA) is an inflammatory disorder of probable immune mediated origin, commonly recognized in dogs . It typiLaws et al. describes the clinical and diagnostic findings, treatment , and outcomes of dogs with SEE that were presented to five referral hospitals in the UK. This study provides detailed information on the presenting clinical signs, MRI findings, laboratory investigation results, treatment, and long-term outcomes. The results of this study inform client communication and clinical decisions on canine SSE management.Spinal epidural empyema (SEE) is characterized by the \u201caccumulation of purulent material in the epidural space of the vertebral canal\u201d . It can Goffart et al. shows that end-on fluoroscopy, with or without inversion, is a highly accurate technique for the intraoperative evaluation of bicortically placed Steinmann pins' position in the canine thoracolumbar vertebral column. Three-dimensionally printed patient-specific drill guides have been used to improve the accuracy of implant placement in the canine spine of the central and peripheral nervous system.The author confirms being the sole contributor of this work and has approved it for publication."}
+{"text": "Using the technique of Force Field Analysis, the co-developer of CAPABLE examined drivers and restrainers of dissemination for the CAPABLE program. This generated 19 distinct drivers including robust research findings, demonstrated clinical and economic utility, and high value to older adults. The environmental shift toward value-based approaches in Medicare and Medicaid also increased the perceived value of CAPABLE. In addition, there were 8 restrainers, including component complexity, siloed health and housing sectors, and the operational lift needed to build the program. Lessons are offered from this case study to move from research to embedded practice."}
+{"text": "In the CNS, microglia is the major resident immune cell. Recent efforts have revealed the diversity of the cell types and the heterogeneity of their functions. The refinement of the synapse structure was a hallmark feature of the microglia, while they are also involved in the myelination and capillary dynamics. Another promising feature is the modulation of the synaptic transmission as synaptic plasticity and the intrinsic excitability of neurons as non-synaptic plasticity. Those modulations of physiological properties of neurons are considered induced by both transient and chronic exposures to inflammatory mediators, which cause behavioral disorders seen in mental illness. It is plausible for astrocytes and pericytes other than microglia and macrophage to induce the immune-triggered plasticity of neurons. However, current understanding has yet achieved to unveil what inflammatory mediators from what immune cells or glia induce a form of plasticity modulating pre-, post-synaptic functions and intrinsic excitability of neurons. It is still unclear what ion channels and intracellular signaling of what types of neurons in which brain regions of the CNS are involved. In this review, we introduce the ubiquitous modulation of the synaptic efficacy and the intrinsic excitability across the brain by immune cells and related inflammatory cytokines with the mechanism for induction. Specifically, we compare neuro-modulation mechanisms by microglia of the intrinsic excitability of cerebellar Purkinje neurons with cerebral pyramidal neurons, stressing the inverted directionality of the plasticity. We also discuss the suppression and augmentation of the extent of plasticity by inflammatory mediators, as the meta-plasticity by immunity. Lastly, we sum up forms of immune-triggered plasticity in the different brain regions with disease relevance. Together, brain immunity influences our cognition, sense, memory, and behavior Cyclostomatas). On the other hand, innate immunity existed long before the advent of vertebrates. The complement system has been found in ascidians and sea urchins, and Toll-like receptors are already present in cnidarians , pathogen-associated molecular patterns (PAMPs), and neurodegeneration-associated molecular patterns (NAMPs), and the mediators play distinct roles in both physiology and pathology in the CNS , activates microglia through Toll-like receptor 4 (TLR4), a pattern recognition receptor. Exposure to LPS facilitates the vesicular release at hippocampal excitatory presynaptic terminals , which intensifies the intrinsic excitability of Purkinje cells of intrinsic excitability, as the increase in the firing frequency of action potentials, and facilitate synaptic transmission in Purkinje neurons of juvenile rodents . In contrast, spontaneous events are recorded without TTX. When the amplitude of miniature EPSC and IPSC changes, it indicates changes in postsynaptic responsiveness.It is noteworthy that, generally, in synapses, there are two sites for modulation: pre- and post-synapses. The modulation of presynaptic release is identified by the increase and decrease in the frequency of miniature EPSC and inhibitory postsynaptic current (IPSC) of the excitatory and inhibitory synapses, respectively. Miniature EPSC and IPSC are the synaptic events recorded under voltage-clamp in the presence of a blocker of voltage-sensitive Navia downregulation of SK channels and the microglia activation reduces the intrinsic excitability of layer 5 (L5) and L2/3 pyramidal neurons mediated by TrkB signaling, associated with the neural pain , transient receptor potential cation channel subfamily A member 1 (TRPA1), interleukin-1 receptor 1(IL-1R1), and presynaptic ionotropic glutamate receptor [N-methyl-D-aspartate receptor (NMDA receptor)] released from microglia induces depolarization of anion reversal potential and modulates the driving force of inhibitory GABAergic channels via innate immune responses. The related inflammatory cytokines and the mechanism for induction have numerous variations. In the following sections, we discuss the roles of inflammatory mediators, cytokines, in synaptic and non-synaptic plasticity (Roles of Inflammatory Cytokines and Lipid Mediators in Synaptic and Non-synaptic Plasticity). And we describe modulations by chemokines . Lastly, we discuss the possible involvement of the immune-triggered plasticity in psychiatric diseases (Plasticity Triggered by Inflammatory Cytokines and Relevance to Psychiatric Diseases).The modulation of synaptic transmission and intrinsic excitability by immunity is expected to exist in CNS regions other than the cerebellum and cerebral cortex. Here, we show summary tables of the immune-triggered modulation of the synaptic efficacy and intrinsic excitability of neurons in different brain regions , 2. TablA receptors was identified in 1975 as a factor causing hemorrhagic necrosis in tumors planted in mice , which binds to the same receptor but does not convey a signal. IL-1 signal induces the expression of IL-8 and IL-6 by activating NF\u03baB and AP-1 In vivo, administration of LPS to the fourth ventricle impaired hippocampal memory tasks are synthesized by many cell types, including macrophages, as pre-pro-TGF\u03b2 (pre-propeptide), and the pre-propeptide is cleaved in the endoplasmic reticulum and secreted as an inactive dimer bound as a latent complex, tethered by the extracellular matrix. Serum proteinases and matrix metalloproteinases (MMPs) liberate the latent form, and TGF\u03b2-binding to transforming growth factor beta receptors (TGFBRs) transduce the signaling in the SMAD-dependent and SMAD-independent manners and LTP in hippocampal perforant path-dentate gyrus synapses are the physically active lipid mediators, which are produced in almost all tissues and involved in the induction of plasticity in the brain ligand 1 suppressed the induction of the LTD of parallel fiber-Purkinje cell synapses or HCN channels, would be another potential target for the drug administration, while we should note that inflammatory mediators could be modulators of not only fast synaptic transmissions and the intrinsic excitability but also metabotropic receptors of monoamine, mGluRs, GABABR, and other G protein-coupled receptors, which are also involved in the plasticity induction.Despite the difficulty in interpreting the biological significance of behaviors, learning, and cognition, the interaction of immune cells with neurons is a quite important feature of brain functioning. The immune-triggered plasticity and related meta-plasticity are expected to be involved in psychiatric disorders evoked by aberrant immunity, specifically at the stage of neurodevelopment and maturation of brain vasculatures . The funders had no role in the study design, decision to publish, or preparation of the manuscript.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest.All claims expressed in this article are solely those of the authors and do not necessarily represent those of their affiliated organizations, or those of the publisher, the editors and the reviewers. Any product that may be evaluated in this article, or claim that may be made by its manufacturer, is not guaranteed or endorsed by the publisher."}
+{"text": "In 2013, about 60% of the urban sample economic growth and carbon emissions showed signs of tapping into potentials and increasing efficiency (absolute decoupling) and intensive expansion (relative decoupling). In old industrial cities, the proportion of relative decoupling shows a fluctuating upward trend. In the future, the government should accurately select its own development orientation and actively seek the \u201cbest balance\u201d between economic growth and a green and low-carbon path.Based on a literature review and theoretical mechanism, this paper takes the implementation point of the adjustment and transformation policy for old industrial cities as the breakthrough point, and uses a regression model to explore the impact of the adjustment and transformation policy of these old industrial cities on urban carbon emissions. This paper also robustly tests the effective mechanisms and environmental hypotheses. Overall, the implementation of the adjustment and renovation policy has significantly reduced the carbon emissions of old industrial cities by about 0.068 units. Compared with the control group cities, the pilot cities reduced carbon emissions by an average of about 310,000 tons after the implementation of the policy. Based on a summary of the excellent Chinese case experience and an empirical analysis, it can be concluded that improvements in the green innovation capacity of old industrial cities, the agglomeration of high-end service industries, and the strengthening of ecological restoration are important mechanisms that lead to reduced carbon emissions. There is no subsequent exacerbation of the carbon intensity of neighboring cities, and there is insufficient evidence to prove pollution via neighboring transfers and use of the beggar-thy-neighbor policy. The extended analysis shows that the \u201cinverted U-shaped\u201d CO General Secretary Xi Jinping has repeatedly emphasized that China\u2019s carbon dioxide emissions will peak before 2030, and the country will strive to achieve carbon neutrality before 2060. Activities related to industrial production and energy consumption are the main sources of carbon dioxide production. Vigorous promotion of carbon emission reduction in the industrial and energy fields is key to the successful implementation of new environmentally friendly development concepts, and to accelerate the construction of a modern industrial system, which in turn will help achieve carbon peaking, and then carbon neutrality. The old industrial cities have made historical and significant contributions to the formation and improvement of an independent and complete industrial system and national economic system in China, and have been indispensable in the post opening-up reform era, and during the current wave of modernization.The old industrial city, as a basic unit, still faces many difficulties and challenges with the existing institutional mechanisms, policy systems, and governance methods. The past problems remain prominent and cause difficulties for the old industries to adapt to the requirements of the industrial green and low-carbon transformation. Through an in-depth study of the adjustment and transformation of old industrial cities, in the face of today\u2019s good conditions, this paper aims to help accelerate the reform of high-quality economic development and promotion of green and sustainable development of the industrial economy. Promoting regional coordination and complementarity in order to reduce carbon emissions and pollution, are important to the success of building a beautiful, more affluent, healthier society. The policy of adjustment and reconstruction of old industrial bases across the country can be considered a starting point to achieving the environmentally friendly targets. This paper can provide operational, replicable, and scalable experience and practices for the low-carbon development of other industrial cities, and explore new ways for the green and low-carbon transformation of industrial cities across the country.Old industrial cities were once the engines that drove rapid economic development in Europe and the USA. \u201cDe-industrialization\u201d in the developed countries led to a severe recession. Similarly, due to market system changes, or the over-specialization of industries, old industrial cities will become prominent in developing countries, which will cause serious ecological and environmental problems . How to Due to the characteristics of the industrial development cycle, it is harder to achieve green transformation in old industrial cities . They maThe process of urbanization and industrialization in China differs from that of Western countries. The analysis of evolution elasticity theory shows that the economic growth rate and industrial structure of old industrial cities can be differentiated . Based oThe existing literature mainly comprises a factual elaboration and theoretical summary of the old industrial cities, and discusses their implementation path and future direction from the perspective of case analyses. However, less empirical attention has been given to the net impact of the adjustment and comprehensive transformation of old industrial cities on regional green and low-carbon development.(1)Evaluate the low-carbon effects and spatial spillover effects with the adjustment and renovation policies of old industrial cities.(2)Effectively identify the transmission mechanism by which the adjustment and transformation of old industrial cities can help reduce carbon and pollution.(3)Test whether a curve is significantly established in the old industrial city sample based on the Kuznets inverted U-curve theory of carbon dioxide.(4)To analyze the degree of decoupling of old industrial cities.Given this, the possible contributions of this paper are:We give a flow chart of the research framework of the article. The flow chart of the research framework is shown in Achieving carbon peaking and carbon neutrality are necessary to solve the outstanding problems of resource and environmental constraints, and to ensure sustainable development, in turn nurturing China\u2019s lucid waters and lush mountains. China\u2019s \u201cNotice of the State Council on Printing and Distributing the Action Plan for Carbon Peaking Before 2030\u201d identified the need to establish an economic system of green, low-carbon, and circular development by 2025. The Notice also specifies that carbon dioxide emissions per unit of GDP will drop by 18% compared to 2020, and that substantial progress will have been made in the comprehensive green transformation of economic and social development, with carbon dioxide emissions reaching a peak and achieving stable and moderate declines by 2030. The government encourage key fields such as energy, industry, transportation, and construction to formulate special plans for peaking, and promote key industries such as steel, building materials, nonferrous metals, chemicals, petrochemicals, electric power, and coal to put forward clear peaking goals and formulate peaking action plans. By 2060, the goal of carbon neutrality will be successfully achieved, and a green, low-carbon, and cyclical economic system and a clean, low-carbon, safe, and efficient energy system will be fully established, creating a new realm of harmonious coexistence between man and nature.Old industrial cities face dual pressures in the process of carbon reduction due to their own unique realities. The proportion of traditional industries is still relatively high, and it is increasingly difficult to tap the potential of energy conservation. The coal-biased energy structure, inefficient energy utilization, and low utilization of clean energy remain apparent. The lack of advanced technology reserves, the shortcomings of energy-saving and efficiency-enhancing technological innovation, the tight time window for carbon peaking and carbon neutralization, and the arduous task of realizing the green and low-carbon transformation of old industrial cities, are the unwanted features that still dominate old industrial cities.In order to promote energy conservation, emission reduction, and the sustainable development of old industrial cities, the reform plan for renovating these cities should focus on transforming the mode of economic growth and promoting sustainable development. The government focusing on transforming the mode of economic growth and promoting sustainable development, focusing on the new competitive advantage of re-engineering the industry, taking promoting green and low-carbon development, and enhancing innovation support capabilities as an important focus, promote the comprehensive, coordinated, and sustainable development of old industrial bases, building it into an important new low-carbon industrial base for the country and a key growth pole for the high-quality development of the regional economy.By considering the success rate of the measures taken by 94 old industrial cities after the implementation of the adjustment and renovation policy, their transmission path is proposed. Representative cities in the eastern region , central region , and western region were then selected for case analysis.Industrial green innovation. The continuous innovation of urban intelligent green manufacturing technology can help transport an industry to the high end of the value chain, change the existing unsustainable technology and production system, and improve the level of informatization and automation of the manufacturing industry. The government can deepen the degree of coupling between the innovation chain and the industrial chain; increase the transformation of innovation achievements and the research and development, as well as the application of green and low-carbon cutting-edge technologies; accelerate the upgrading of low-carbon products and technologies; and form new manufacturing processes and equipment that are efficient, energy-saving, environmentally friendly, and recyclable, building a green zero-carbon manufacturing system, thereby greatly reducing carbon emission intensity. Industrial technological innovation can broaden the depth and breadth of the development and utilization of renewable clean energy and promote a revolution in energy consumption. Industrial green innovation also reduces excessive dependence on fossil fuels, optimizes energy industry structure and energy use ways, and improves the efficiency of the optimal allocation of energy industrial cities. The government accelerate the conversion of old and new kinetic energy in cities, and continuously overcome key energy-saving technologies in major energy-consuming fields of industry, so as to reduce total carbon emissions from the source .Environment for innovation activities. An environment conducive to innovative scientific research and the construction of innovative service networks plays an increasingly important role in carbon emission reduction. Scientific research includes technological projects in the fields of energy conservation and environmental protection, low-carbon production, and clean energy, and forces and/or motivates enterprises to develop advanced production technology. The people in old industrial cities participate in and popularize the practice of green production and life, actively advocating green, low-carbon, and simple lifestyles in the whole society, and indirectly reduce the scale of carbon emissions .Efficient division of labor. Emerging high-end industrial clusters can reduce production and trade costs through the specialized division of labor and advantageous resource endowments, in turn effectively promoting business exchanges between enterprises. This will help reduce the volatility of demand for green and low-carbon products, deepen the division of labor in the industrial chain, and promote the extension of the industrial chain towards high added value .Element sharing. The agglomeration of high-end industries is conducive to promoting the effective allocation of production factor resources and recycling urban infrastructure. Element sharing helps to reduce the transportation distance, expenditure cost, and time search cost in old industrial cities. Element sharing can improve the government\u2019s treatment and utilization efficiency of pollutants, reduce the decentralized consumption of energy, improve the utilization efficiency of energy and elements, and thus promote the rapid reduction of urban carbon emissions.Spillover effect. The complementary effect of the modern low-carbon industry and its related industries will produce increasing returns to scale, resulting in the multiple effects of urban collaborative innovation, cutting-edge ideas, and spillover enhancement effects. The spillover effect will help to enhance the rooting and cohesion of the low-carbon industry, and increase the communication, interaction, and cooperation between enterprises and other related industries. The diffusion of urban clean technology will accelerate, and upstream and downstream enterprises will be promoted through exchanges and interaction along the industrial chain. In addition, other companies will benefit from the agglomeration of high-end low-carbon industries .2 emissions [Firstly, ecosystem protection and restoration can significantly increase the coverage of natural vegetation, prevent soil erosion and dust storms, increase soil fertility, expand the total amount of forest and grass resources, maintain biodiversity, and effectively improve regional air quality. Ecological governance can change local albedo, turbulent energy, and mitigate natural disaster losses. Ecological governance can promote the enhancement of the carbon sequestration and carbon absorption capacity of forests and wetlands, and effectively reduce the total carbon emissions of cities. Afforestation programs that promote increased terrestrial carbon storage are an important means of helping to gradually reduce atmospheric COmissions .The research on forest carbon sinks of Peking University also shows that for every cubic meter of forest growth, it absorbs about 1.8 tons of carbon dioxide on average, especially in the peak season of tree growth, the forest can absorb 1.6 kg of carbon dioxide per square meter per day. The United Nations Intergovernmental Panel on Climate Change estimates that the global forest carbon storage will exceed 11,000 tons. In order to achieve carbon neutrality, cities require conservation as well as sustainable management to increase carbon sink. Therefore, old industrial cities must formulate policies against deforestation and deforestation, promote scientific research on carbon sinks, actively build forest parks, and promote afforestation activities . ResearcSecondly, the expansion of the regional green area can optimize the urban ecological space pattern, enrich the urban connotation and functional quality, and continue to attract new workers. Profiting from their industrial heritage resources, cities can provide a high-quality creative environment and atmosphere through exhibitions and projects, creating green and low-carbon development ecological places, tourist attractions, and idyllic scenery complexes. Ecosystem protection will help cities fundamentally transform their original industrial structure of high energy consumption, high pollution, and high emission industries, realizing the integrated and diversified development of primary, secondary, and tertiary industries, continuously improving the \u201cgreen content\u201d of emerging industries, and accelerating the realization of low carbonization .DID model. The difference-in-differences method is an important scientific research tool for evaluating the effect of a project or policy implementation. This method can not only exclude unobservable individual heterogeneity among samples, but also account for the influence of unknown factors that change over time. The difference-in-differences method ensures unbiased estimation of policy effects and effectively controls the effect of the interaction between the explained variable and the explanatory variable. Based on the pilot list of old industrial cities, the benchmark regression model is constructed as follows:by Athey is used Panel quantile regression model. The basic idea of this model is to minimize the distance between the dependent variable and the fitted value, which can effectively eliminate the assumption of a normal distribution for the unobserved residuals based on the minimum residual squared and panel model, and better measure the independent variables in the variation trends and distribution shapes at multiple quantiles, which reflect the rich information of all samples.The parameter estimation method of the panel quantile regression model is as follows:Lnco2). Referring to the calculation method of Wu Jianxin [Perco2 and land average carbon emissions Aerco2 are both estimated as dependent variables.Explained variable: total urban carbon emissions . The carbon emission of urban transportation is based on the methods of Zhang Yan [4 kg/TJ (as CO2). The net calorific value of gasoline is 44.3 TJ/Gg, which is 44.3 \u00d7 10\u22126 TJ/kg. The diesel emission factor is 7.41 \u00d7 104 kg/TJ (as CO2). The net calorific value of diesel is 43 TJ/Gg, which is 43 \u00d7 10\u22126 TJ/kg. The emission coefficient of raw coal is 9.46 \u00d7 104 kg/TJ , and the net calorific value is 25.8 TJ/Gg, which is 25.8 \u00d7 10\u22126 TJ/kg. The urban public transportation uses diesel as the main fuel, and the density of diesel is 0.835 kg/L. Taxis use gasoline as fuel, and the density of gasoline is 0.725 kg/L. The urban thermal energy data were not taken into account due to the large area of missing values in the total urban heating supply and heating area.Direct energy carbon emissions are obtained by multiplying the total urban natural gas and LPG supply by the relevant conversion factors provided by IPCC2006. The COhang Yan and Zhaohang Yan . It is aCore explanatory variables. Pergdp), as measured by the ratio of urban real GDP to total urban population. GDP is an important factor affecting CO2 emissions in old industrial cities. With the continuous increase in the total economic volume and output scale, the new emission of pollutants has become prominent, which has brought great pressure on the emission reduction of old industrial cities. Investment level (Oinvest), as expressed by the ratio of the whole society\u2019s fixed asset investment and real GDP. The impact of investment levels on the green and low-carbon development of old industrial cities is uncertain. On the one hand, old industrial cities have increased investment to attract \u201chigh energy consumption, high pollution, high emissions, low added value\u201d enterprises to enter, and constantly reduce the quality of the city\u2019s green development. On the other hand, the increasing investment in environmental protection has provided effective financial support for eliminating the pollution stock and reducing the pollution increment. The government\u2019s efficient environmental protection investment can promote the reduction of the county\u2019s pollution emission intensity. Education scale (Oeduc), which is represented by the ratio of the number of students in regular high schools in the city to the urban population. The scale of education can significantly reduce the scale of carbon emissions in old industrial cities and increase the carbon sequestration of regional vegetation. Education has a reinforcing effect on public environmental protection behavior in old industrial cities. Education carries the universal function of social values and can increase knowledge about ecological and environmental protection. Industrial structure (Upais), as represented by the advanced index of urban industrial structure, that is, Dmarket), as represented by the ratio of the number of private and individual employees in the city to the total number of employees in the city. The improvement of market demand is conducive to the public consciously transforming green concepts into actual consumption actions and building a social action system for low-carbon consumption. To a certain extent, it is conducive to industrial structure adjustment and independent innovation, and guides enterprises to actively adapt to the requirements of green and low-carbon development. Communication facilities (Teleinst), as represented by urban fixed telephone users and mobile users. The rapid increase in the coverage of communication facilities can prompt the public to spontaneously monitor the environmental pollution around living areas, exert high pressure on local governments, and increase the quality and scope of government environmental pollution information disclosure. The multicollinearity test found that the largest covariate VIF was 2.56, 1/VIF was 0.91, and the mean VIF was 1.83. There was no serious multicollinearity problem.Other explanatory variables: Economic development statistical yearbooks over the years. If there was a problem of missing data, the CSMAR database and EPS database were used as alternatives. The descriptive statistics of the variables are shown in By selecting the time series data from 2006 to 2019, the annual change trend in urban carbon emissions in the treatment group and the control group was analyzed before and after the implementation of the policy. According to This paper considers the impact of the adjustment and renovation policies of old industrial cities on regional carbon emissions. The benchmark regression estimation results in Before the implementation of the old industrial city adjustment and renovation policy, the old industrial city exceeded the threshold of the carrying capacity of the social environment through the excessive consumption of energy resources, and substantial investment in related factors of production, which all reduced the stability and service functions of the regional ecosystem. Following policy implementation, the original economic development model of the old industrial city has been gradually broken. The old industrial cities, according to the resource endowment conditions and the main function positioning, anchors the green and low-carbon development plan, leading to deeply adjusting the industrial structure and making every effort to promote industrial energy conservation and emission reduction. The old industrial cities can accelerate industrial innovation and low-carbon construction projects, strengthen the hard constraints of the ecological environment, and promote the elimination of backward and excess production capacity. Old industrial cities actively explore new models of low-carbon industrial development and vigorously develop low-carbon modern service industries. Additionally, old industrial cities are accelerating the continuous reduction of energy consumption per unit of product, strengthening their recycling capacities and comprehensive utilization of resources, and promoting manufacturing and supply of green products. Old industrial cities can strictly abide by the red line of urban ecological protection, increase the carbon sinks in the ecosystem, resolutely curb the blind development of high energy consumption, and optimize the layout of land and space development and protection areas. To sum up, the implementation of the policy can effectively reduce the emission intensity of carbon dioxide pollutants in cities and promote the green and low-carbon development of cities.According to The implementation of the new development concept has enabled old industrial cities to gradually incorporate ecological civilization education into the national education system, which has strengthened innovation capacity building and talent training, incited green and low-carbon social actions, and popularized basic knowledge of carbon peaking and carbon neutrality. With the implementation of the new development concept, old industrial cities have gradually incorporated ecological civilization education into the national education system, strengthened innovation capacity building and talent training, and led to green and low-carbon social actions. People\u2019s consumption habits, ecological awareness, and market demand are constantly changing, resource conservation is increasing, and the degree of public participation is orderly. The coverage network of regional communication infrastructure can significantly enhance public participation in environmental governance, and enhance the environmental protection demands of informal forces. The advancement of communication facilities has significantly improved people\u2019s ideas and ways of thinking and boosted the rapid flow and efficient dissemination of diverse information. The coverage network of regional communication infrastructure can improve the availability of products and services in the region and help enterprises to make optimal production and sales decisions, thereby improving industrial production efficiency and reducing urban carbon emissions. In addition, the extensive way of economic development in old industrial cities negatively increases the pollution of the ecological environment and significantly increases the total regional carbon dioxide emissions. With the continuous increase in the total economic volume and output scale, the lagging industrial structure and the increasing risk of spatial layout, the synergy of the development of modern low-carbon industries needs to be improved, and the pressure of new pollutant emissions is prominent. With the weakening of environmental protection, the overall coordination of ecological protection has increased, and the comprehensive deepening of the reform has not yet formed a system integration effect.According to Overall, at the lower quantiles, the old industrial cities lack protection from mountains, rivers, forests, fields, and lakes, and the ecological space is instead constantly being eroded and occupied. High development intensity comprises the expansion of urban construction land, increased traffic density, continuous population growth, and intensification of the area of natural vegetation. Per capita consumption of energy-intensive products continues to rise, increasing the city\u2019s carbon emission levels. With the continuous increase in quantiles, the old industrial cities should start from improving the overall competitiveness of the region, clarify their own ecological function positioning, and strengthen the dual control of carbon emission intensity and total amount. The old industrial cities can adhere to the combination of industrial transfer and sustainable development, innovate the way and platform for undertaking industrial transfer, and improve the layout management of low-carbon industrial development and the ecological space within the region. Old industrial cities can optimize the carrying capacity of resources and environment, implement integrated protection and restoration, and consolidate the role of ecosystem carbon sequestration, thereby producing a positive green and low-carbon effect. At the highest quantile, the old industrial cities have heavy work tasks to reduce production capacity, adjust their structure, and change their methods, as there are serious historical problems, and the process of industrial transformation, upgrading, and optimization is relatively slow. The land use, energy consumption, water consumption, factor allocation, and pollutant discharge standards undertaken by the industry are relatively weakened, and it is easy to \u201cturn one eye and close one eye\u201d in order to continue to \u201cgive the green light\u201d for pollution-transfer enterprises. Old industrial cities neglecting the quantity and quality of investment promotion will lead to the misallocation of production factor resources and bring about regional ecological and environmental crises.Following the omitted variable test, the replacement variable test , the beAs old industrial cities differ with regards to geographical location, administrative level, social endowment, and regional attributes, the impact of policy implementation on urban carbon emissions will also differ. Therefore, in terms of geographical location, the cities were divided up into the eastern region, central region, and western region; in terms of administrative levels, they were grouped by size as large cities, medium-sized cities, and small cities; in terms of convenience, they were divided into cities with high-speed rail and cities without high-speed rail. The estimated results are shown in Compared with cities in the eastern and western regions, the adjustment and renovation policies of old industrial cities in the central region have not produced significantly positive regional green and low-carbon effects. Due to the complexity and particularity of the old industrial cities in the central region in terms of geographical location and social environment, it is easy to undertake the transfer of polluting industries and increase the level of carbon emissions. Overcapacity and low-efficiency in central cities still plague the process of industrialization reform. Influenced by interestism, the central region government relaxes environmental control and lowers the regional requirements for environmental quality, thereby ignoring ecological and environmental planning and protection in the region.The challenge of ecological environmental protection is thus increasing; hence, there is no evidence of positive pollution and carbon reductions. The old industrial cities in the eastern region actively exert their own resource endowment advantages, strengthen industrial environmental protection awareness and low-carbon concepts, and accelerate their industrial innovation capabilities and the training of high-quality talents. Old industrial cities in the eastern region are strengthening the research, promotion, and application of major low-carbon technologies to overcome the commonalities and key core technologies. In addition, the estimated effect coefficient generated by the implementation of the old industrial city policy in the western region is the largest. The old industrial cities in the western region are striving to promote the green, circular, and low-carbon development of the industry, actively exploring the environmental supervision, regulation mechanism, and innovative transformation path of the industrial wasteland, and steadily promoting the formation of a new model of green, low-carbon, and sustainable development. The western region is generally establishing a resource-saving and environmentally friendly development mode to further strengthen the main functions of the different regions.For large old industrial cities, the implementation of adjustment and renovation policies can have a very significant effect on reducing pollution and carbon in the region. Therefore, large-scale city governments are using \u201ccarbon peaking and carbon neutrality\u201d as the guide, and green and low-carbon industrial clusters as the carrier. In taking this approach, large cities will continue to adjust and optimize the regional layout of industrial productivity, guide a rational and orderly transfer of industries, have efficient and clean agglomeration, improve the coordination and supporting system of the industrial chain, create a circular industrial entity, and improve the level of industrial informatization. Large cities are accelerating the research, development, and promotion of industrial low-carbon technologies, exploring and innovating low-carbon industrial development models, enhancing independent innovation capabilities, improving industrial technology innovation mechanisms, promoting in-depth implementation of industrial green manufacturing, and developing an innovative green economy. Large cities are turning \u201cgreen\u201d in the \u201cbackground\u201d of industrial production, taking the lead in achieving carbon peaks with a more proactive attitude.Compared to old industrial cities without high-speed rail, those with high-speed rail have a significantly \u201cnegative shadow\u201d impact on their urban carbon emissions, which is conducive to reducing carbon levels and pollution, reducing costs, and increasing efficiency in the region. The reason is that the opening of high-speed rail can improve the accessibility level and location advantages of a city. Transportation times and efficiency increase the potential of agglomeration and economies of scale in the central area, and change the spatial distribution pattern of the urban industrial economy. High-speed rail cities continue to effectively promote the optimization of the industrial division of labor, and the complementation of comparative advantages in the region promote the continuous conversion of new and old kinetic energy, thereby greatly reducing the intensity and total amount of carbon emissions.Grinnov). Patents have become a popular way for researchers to measure green and low-carbon innovation. Therefore, with reference to Zhang [Green innovation quality , drawing on the practice of Xuan [Agglomeration of modern industries ( of Xuan to buildEcolores). This indicator is measured by the degree of urban green vegetation coverage [Ecological restoration and reconstruction refers to the fact that with the growth of the regional economy, there is a specific extreme point in the emission of carbon dioxide, which is an \u201cinverted U-shaped\u201d curve relationship that first increases and then decreases.2 environmental Kuznets curve (EKC) in old industrial cities, and the \u201cinverted U-shaped\u201d hypothesis is clearly established. When the cubic term of per capita income is added to the continuous increase in per capita income in old industrial cities, carbon dioxide emissions still show a clear \u201cinverted U-shaped\u201d relationship, which initially increases slowly, and then continuously decreases; the \u201cN-shaped\u201d curve hypothesis does not hold. In reference to the general framework test of Lind [Pgdp is found to be significantly larger than the threshold, and the extreme value point tested is within the range of the sample data. The null hypothesis is rejected at the 10% significance level Overall, the adjustment and renovation policies can produce a positive low-carbon and carbon-reduction effect, with an average reduction of about 0.068 units of carbon emissions. Compared with the average value, the implementation of the policy can reduce the urban carbon emissions by an average of about 310,670 tons. The policy implementation can effectively promote carbon reduction and pollution reduction in the middle quantile. There is no significant evidence that policy implementation leads to the transfer of pollution from old industrial cities to neighboring cities. The phenomenon of \u201cblaming the neighbors\u201d for serious pollution has not occurred, and thus the implementation of the policy can realize low-carbon regional development.(2)The adjustment and renovation policies of old industrial cities have had a distinct and negative effect on pollution reduction and carbon reduction for sample cities in the eastern and western regions, large cities, and cities connected to high-speed rail.(3)On the basis of summarizing excellent Chinese cases and conducting empirical estimates, it is found that after policy implementation, the innovation and improvement of urban green quality, the expansion of high-end industrial agglomeration scale, and the increase in ecological environment reconstruction are important mechanisms to reduce urban carbon emissions.(4)2 EKC in old industrial cities, but the \u201cN-shaped\u201d curve hypothesis does not hold. There are quite a few old industrial cities that have yet to cross the turning point of the EKC.There is a significant \u201cinverted U-shaped\u201d CO(5)During the implementation of the policy, in 2013, about 62% of the old industrial cities showed a state of relative decoupling and absolute decoupling. As the years pass, the trend of an increasing fluctuation of this ratio becomes more prominent, thus reversing the rapid growth of carbon dioxide in old industrial cities.The following conclusions are drawn:Based on the empirical results and conclusion analysis, the following policy recommendations are put forward:First, the city government should rationally design a dynamic path for carbon emission reduction to achieve absolute decoupling between economic growth and carbon emissions. City governments should fully integrate carbon peaking and carbon neutrality goals into medium- and long-term planning for economic and social development, and clarify the goals and outcomes of carbon reduction and carbon reduction tasks. City governments should cross the inflection point of the CKC curve as soon as possible; vigorously support cities with endowment conditions, key industries, and key enterprises to take the lead in peaking carbon emissions; and should not implement campaign-style carbon reduction. The government of the old industrial city should strengthen the top-level system design and promote the participation of diversified subjects, such as the government, society, and public, to realize the linkage of carbon emission reduction from top to bottom.Second, the government should take various measures to achieve green and low-carbon development. The government should strengthen the leadership of cutting-edge innovation in the industrial base, cultivate compound green and low-carbon talents, implement key core technology innovations, cultivate green and low-carbon emerging industries, promote cross-sector and cross-industry collaborative innovation, and accelerate industrial low-carbon transformation and digital transformation. The government should further increase the proportion of renewable energy production and consumption, and provide an important guarantee for the construction of a zero-carbon green energy system. The government should cultivate advantageous high-end industrial clusters; improve the coverage of regional communication infrastructure; strengthen regional division of labor and efficient cooperation; broaden the rational flow of production factors and channels; strengthen the coupling and linkage of green and low-carbon industries; and promote the advanced industrial foundation of industrial cities, the specialization of industrial division of labor, and the modernization of industrial chains. The government should speed up the transformation of the original extensive and high-carbon development mode; strengthen the restoration and management of the geological environment and vegetation coverage; enhance the ability to conserve water sources and soil; and realize the coordination and unity of the economic, ecological, and social benefits of resource development.Third, the government should build a cross-regional environmental coordination mechanism. The government should compile and apply a negative list for environmental access; implement an implementation plan for coordinating joint prevention, joint governance, and comprehensive governance; promote the simultaneous coordination of environmental regulations in adjacent areas; and strengthen the industrial division of labor and complementary advantages. The government should break the administrative level restrictions; build a cross-regional pollution-reduction and carbon-reduction coordination mechanism, and a cooperation platform; and achieve regional high-efficiency and integrated governance. The government should focus on the environmental effects of policy reforms in the central region cities, cities without high-speed rail, small cities, and medium-sized cities."}
+{"text": "This evidence synthesis aimed at assessing the effectiveness of Faith-Based Organisations (FBOs) on Maternal and Child Health (MCH) outcomes; and explore the perceptions and experiences of the users and providers of MCH services delivered by FBOs in Africa. This review considered studies from African countries only. Both reviews and primary studies focusing on MCH services provided by FBOs were considered. Quantitative, qualitative, and mixed methods reviews were included with no restriction on the date and language. Primary outcomes included maternal mortality ratio, neonatal mortality, infant mortality, child mortality, quality of care, views, experiences, and perceptions of users of FBOs. We searched up to November 2020 in the Joanna Briggs Institute (JBI) Database of Systematic Reviews and Implementation Reports, the Cochrane Database of Systematic Reviews, Database of Abstracts of Reviews of Effects, PROSPERO register, PDQ-evidence, Health Systems Evidence, CINAHL, EMBASE, and PubMed. We searched references cited by similar studies that may be potentially eligible for inclusion. We then updated the search for primary studies from December 2009 - October 2020. One systematic review and six primary studies met the eligibility criteria for inclusion. Methodological quality varied. These observational and qualitative studies found that FBOs offered the following MCH services - training of healthcare workers, obstetric services, health promotion, sexual education, immunization services, and intermittent preventive therapy for malaria. Maternal and Child Health (MCH) services provided by FBO suggest a reduction in maternal morbidity and mortality. Increased uptake of maternal healthcare services, and increased satisfaction were reported by users of care. However, costs of providing these services varied across the studies and users. This review shows that FBOs play an important role in improving access and delivery of MCH services and have the potential of strengthening the health system at large. Rigorous research is needed to ascertain the effectiveness of FBO-based interventions in strengthening the health systems in Africa. The Worve visit . To achive visit .et al. [The complex social, political, environmental and economic determinants of health calls on health systems to look beyond the provision of care by a single entity such as the public healthcare services . A privaet al. argue thet al. -10.An FBO is defined as an \u201corganization, with or without non-profit status that provides social services and is either motivated by religious faith or belief or have affiliations with religious groups\u201d . More reA number of published studies on the role and contribution of FBOs on maternal, newborn, and child health (MNCH), HIV/AIDS and other health issues have focused on understanding the different roles of FBOs in healthcare delivery, their reach, costs, and satisfaction from beneficiaries ,12,14. CThe protocol was registered in the International Prospective Register of Systematic Reviews (PROSPERO): CRD 42020153300 [Criteria used to consider studies for inclusion: we included systematic reviews and primary studies on MCH services provided by FBOs. We considered any level of care and facilities providing either maternal or child services or both by any health provider regardless of cadres. The comparison was of other types of organizations or health care services providers that are not faith-based such as government-owned healthcare facilities and non-governmental organizations. We defined maternal health as the health of women during pregnancy, childbirth, and postpartum (the first 42 days after delivery) [elivery) . Child helivery) . MCH seret al. 2015 [Secondary outcomes included utilization of MCH services, the proportion of live births, percentage of births attended by skilled health personnel, uptake of intermittent preventive treatment (IPT) for malaria, the proportion of HIV pregnant women on prevention of mother to child transmission (PMTCT), immunization coverage, maternal and child morbidity, stunted children, the proportion of children receiving treatment of childhood infectious diseases, like pneumonia, cost-effectiveness, access to care, client\u00b4s satisfaction, quality of care and continuity of care as reported in the studies. Systematic reviews are defined as reviews with the following characteristics as described by Moher al. 2015 : clear dSearch methods for identification of studies: the first search used a comprehensive search strategy to identify systematic reviews. It was developed for PubMed and adapted for other databases, with the assistance of an information specialist (Annex 1). We did not apply any date or language restrictions. The following key words were used with key terms such as 'systematic' or 'meta-analysis' in the title or abstract fields: 'delivery of care/economics', 'organization and administration', 'community health centres', \u2018faith-based organizations', 'faith-inspired interventions', 'hospitals/religious', 'quality of care', 'public-private partnerships', 'SDG3' and 'health services/research', 'faith-based facilities', 'religious programmes\u00b4, \u2018local faith communities', 'humanitarian care', 'faith-based aid'. We searched up to November 2020 in the JBI Database of Systematic Reviews and Implementation Reports, the Cochrane Database of Systematic Reviews, Database of Abstracts of Reviews of Effects, PROSPERO register, PDQ-evidence, Health Systems Evidence [Annex 1). We searched in the JBI Database of Systematic Reviews and Implementation Reports, CINAHL, EMBASE, and PubMed.Evidence , CurrentSelection of studies, data extraction, and management: two authors (Chinwe Juliana Iwu-Jaja and Jeannine Uwimana Nicol) independently screened titles and abstracts of the records from the first search on CovidenceR software. The records were rated as 'or exclusion', 'for inclusion', or 'potentially eligible' accordingly.The full text of systematic reviews judged as 'for inclusion' or 'potentially eligible' were then assessed against the inclusion criteria independently by the two authors. Disagreements were resolved be through discussions and when consensus was not reached, a third author (Taryn Young) was consulted for arbitration. In the second round of screening to identify recent primary studies (from 2009-2020) five reviewers independently screened titles and abstracts of the records in Covidence. The full text eligibility assessment was independently done by the same four reviewers. Disagreements were resolved through discussions and when consensus was not reached, two of the reviewers (Jeannine Uwimana Nicol and Chinwe Juliana Iwu-Jaja) resolved the conflicts. Data were extracted using a pre-defined form which included key characteristics of included studies such as first author name, year of publication; objectives, number of included studies; countries, characteristics of participants, study type, types of interventions, intervention intensities, setting, and context where the study was conducted, outcome assessed, instruments used to assess outcomes ; comparisons of performed and results. Additionally, extracted data included the phenomenon of interest .Assessment of methodological quality, data analysis, and synthesis: two authors (Chinwe Juliana Iwu-Jaja and Jeannine Uwimana Nicol) independently, and in duplicate, assessed the quality of systematic reviews using the AMSTAR 2 (A Measurement Tool to Assess Systematic Reviews) tool [ws) tool , qualitaws) tool . For priws) tool and the ws) tool for qualws) tool and guidResults of the search: a total of 13,810 article citations were identified through both stages of database searching, of which 12,844 were screened for titles and abstracts after de-duplication. These articles were a combination of primary studies and systematic reviews. After titles and abstracts screening, 64 studies (59 primary studies and three systematic review) were considered potentially eligible. We included one systematic review and eight primary studies ( studies .Characteristics of included studies: the systematic review included six primary studies conducted in eight countries in Africa (1987-2007), while the eight additional primary studies were conducted from 2012-2020. The systematic review conducted by Widmer et al. [r et al. assessedr et al. -31; thesr et al. ,29,31-33r et al. and two r et al. ,28. The The FBOs included Baptist Church, Christ Apostolic Church, Presbyterian Church, Catholic Church, Protestant Church, Catholic Church, Muslim organizations, Catholic Medical Services, Uganda Protestant Medical Bureau, Uganda Muslim Medical Bureau, the Christian Health Association of Malawi which includes Malawi Council of Churches and the Episcopal Conference of Malawi, the Kenya Conference of Catholic Bishops, Lutheran Church, and the Seventh-day Adventist Church. The services that were offered by these FBOs covered: capacity building: training of healthcare workers, community health workers, and volunteers in the community such as church/faith leaders, women leaders and others; health education and promotion; immunization services; obstetric and neonatal care services: births, management of neonates related complications, births and managing complications in newborns; sexual reproductive health and antenatal care: family planning services, antenatal care services including HIV testing for pregnant women, caesarian section and vaginal delivery, birth related complication and post-natal care up to 6 weeks after delivery; health education and promotion: hygiene, breastfeeding and immunization, family planning, counseling on family planning and HIV, malaria prevention including IPT, and Education on HIV prevention strategies; other primary health care services such as treatment of minor ailments, home-based care, community outreach programmes, among others; the reproductive services offered include safe motherhood (SMH) which comprise antenatal care (ANC) attendance, caesarian section and vaginal delivery, birth related complication and post-natal care up-to 6 weeks after delivery.The methodological quality of included studies: the methodological quality of the systematic review by Widmer et al. [apriori; there was no duplicate study selection and data extraction; no list of excluded studies; no risk of bias assessment; and no source of funding declared . The key methodological aspects that were not described include the identification of potential confounders and how these confounders were controlled in the analyses. The quality of two qualitative studies [Annex 2). The methodological areas of concern included the lack of reflectivity of the researcher(s) and whether the data reached saturation. Vossius et al. [Annex 3 and Annex 4.Four cross-sectional studies met six of the eight JBI criteria for quality -33 whileet al. met all studies ,28 was fs et al. study coEffects on FBOs on maternal and child health outcomes: the key findings on MCH services provided by FBOs are presented in When comparing government, FBOs, and private health facilities in terms of MCH services frequently rendered in the community, most government and FBO facilities provided obstetric services and prenatal care. The majority of FBOs (88.6%) and the government facilities (98.7%) offered prenatal care. There were higher immunization levels among women and children in the FBO facilities than government facilities offering similar services. Faith-Based Organizations (FBOs) had more supplies of health commodities than government facilities . In addiOne of the included studies in the review assessedA descriptive report includedet al. [From the qualitative studies, Aristide et al. highlighet al. highlighIn this study, we synthesized research evidence on FBOs providing MCH programs including HIV in Africa. The findings provide important insights into the contribution and potential impact of FBOs in the delivery of MCH services in Africa. Improving the utilization of antenatal care services, such as getting more mothers to attend professional healthcare visits while pregnant, is critical to improving maternal and child health . During High cost of health services has been described as a major limitation to accessing care . The cosWomen preferred the services run by the FBOs to those by the government facilities . These wet al. [et al. patient satisfaction is so critical that it has been used to assess the quality of care and health-related outcomes and behaviors [A study by Mwarey et al. conducteet al. . Apart fet al. . Accordiehaviors . These pet al. [One systematic review and six additional primary studies met the inclusion criteria - consisting of cross-sectional, qualitative, economic evaluation and pilot studies. Methodological quality appraisal of these studies raised some concerns such non-reporting confounding factors and how these confounding factors were controlled ; non reporting of the reflexivity of the authors/researchers ; and lack of clarity on incremental costs and only the provider point of view was considered in the economic evaluation. It\u00b4s important to note that the scarcity of reviews and poor methodological quality of the included studies is not an isolated situation for the African continent, but it has been highlighted in other systematic reviews conducted among Latinos and Black Americans ,48 Kagawet al. , in theiWe followed a pre-specified protocol, conducted a comprehensive search, without language restrictions, covering various electronic databases, and we searched for on-going and unpublished systematic reviews. Two reviewers independently applied pre-defined eligibility criteria to select studies for inclusion, extracted data and evaluated the methodological quality of each included study. PRISMA 2020 reporting guidelines were followed . Only obet al. (2004) in their review assessing the effectiveness of FBO based health programs indicate that there is an urgent need for collaboration between FBOs and researchers to facilitate capacity building of FBOs in conducting research and routine health information systems to improve the quality of scientific papers produced. Additionally, Derose and Rodriguez [With regards to policy and public health implications, strengthening health systems in Africa through public private partnerships (PPP) such as FBOs, further research is needed to ascertain the effectiveness and impact of FBO based interventions on MCH outcomes and other global health programs. This will require capacity building of FBOs, partnerships of FBOs and academia/research agencies and increased funding to support a pipeline of evidence generation that will enhance informed decision making and the attainment of SDGs at large in developing countries. DeHaven odriguez argue thFaith-Based Organisations (FBOs) play an important role in health systems strengthening and their presence could contribute to MCH through the reduction in maternal mortality and morbidity, increased uptake of maternal health care services, increased satisfaction by users of care, provision of HIV/AIDS services and an overall improvement in health outcomes. Future research need to carefully consider the questions to be addressed and refine these, based on existing evidence to avoid unnecessary duplication ,50. AdheFunding statement: this systematic review was supported by the funding from Stellenbosch University, Faculty of Medicine and Health Sciences-Early Career Research funding 2018. Award/grant number is not applicable. The funder did not have any role in the review process.There is high burden of maternal deaths in the African region which is common amongst the poorest and most disadvantaged population groups;Faith based organizations (FBOs) deliver between 30-70% of health services in low- and middle-income countries in Africa, including maternal and child health services;The role of the FBOs and their impact on maternal health outcomes in Africa need to be clearly understood.Faith-Based Organisations (FBOs) play an important role in improving access and delivery of maternal and child health care services;Experiences of participants using services provided by FBO are variable;Further research is needed to ascertain the effectiveness of FBO-based interventions in improving maternal and child health outcomes and ultimately strengthening health systems in Africa."}
+{"text": "Dear Editor,A seven-month-old female patient presented with a history of a congenital, violaceous, fast-growing lesion located on the right plantar surface. Dermatological examination disclosed the presence of a firm spherical tumor, with dilated vessels on the surface, and central ulceration with friable, bleeding tissue, and hematic crusts A. The chMagnetic resonance imaging (MRI) and magnetic resonance angiography (MRA) disclosed a well-vascularized solid mass, with the involvement of the underlying muscles and extending to the anterior aspect of the foot. Diffuse contrast enhancement was observed throughout the lesion, with no signs of arteriovenous shunts or a cluster of tortuous vessels (nidus), thus ruling out the diagnosis of a vascular tumor, including kaposiform hemangioendothelioma A and 2B.The patient was submitted to neoadjuvant chemotherapy to reduce tumor size C, followCIF is a rare malignant tumor of childhood; however, it is the most common soft tissue sarcoma in children under one year of age.Fibrosarcomas are malignant neoplasias composed of mesenchymal fibroblasts. The infantile variant shares histopathological characteristics with adult fibrosarcoma but has a better prognosis. Although local recurrences are common, the rate of CIF metastasis is less than 10% and the ten-year survival rate is up to 90%.5The histopathological findings of CIF include the proliferation of dense fusiform cells and vascularized areas. Immunohistochemistry is positive for vimentin and, in some cases, for desmin, smooth muscle actin, and cytokeratin.5The diagnosis of CIF should always be considered in the presence of a congenital, spherical, bleeding extremity tumor in children, aiming to avoid treatment delays.None declared.Luciana Baptista Pereira: Design and planning of the study; drafting and editing of the manuscript; collection, analysis, and interpretation of data; critical review of the manuscript; approval of the final version of the manuscript.Jo\u00e3o Renato Vianna Gontijo: Critical review of the manuscript; drafting and editing of the manuscript; approval of the final version of the manuscript.Marcelo de Mattos Garcia: Critical review of the manuscript; drafting and editing of the manuscript; approval of the final version of the manuscript.Karine Corr\u00eaa Fonseca: Critical review of the manuscript; drafting and editing of the manuscript; approval of the final version of the manuscript.None declared."}
+{"text": "The approach to evaluating the effectiveness of psychosocial rehabilitation (PSR) of mentally ill patients implies a multidimensional, hierarchical consideration of mental pathology with the inclusion of clinical and psychopathological, socio-environmental and personal indicators when setting goals and objectives of PSRDevelopment of algorithms and models for evaluating the effectiveness of PSR taking into account: clinical, socio-demographic, psychological characteristics of the patient and the characteristics of the family environment, as well as factors of psychiatric care.Clinical, statistical, algorithms of the analytical hierarchy process (AHP) [1].Numerical estimates of changes (before and after the PSR program) in the main areas of patient\u2019s functioning disorders, such as motivation, cognition, compliance, coping strategies, family, skills, immediate environment, and others, are proposed as particular criteria for evaluating the effectiveness of PSR. Quantitative estimates for particular criteria are obtained on the basis of rank estimates, which are converted into numerical ones based on AHP algorithms [1]. Quantitative integral estimates of the effectiveness of PSR are obtained on the basis of partial estimates, taking into account the weight of the corresponding areas of impaired functioning of patients.S.S. Korsakov Journal of Neurology and Psychiatry. 2019; 119(2): 49-54The developed approach opens up prospects for obtaining numerical, partial and integral estimates based on various rank scales, which are of interest from the point of view of forming criteria-indicators (markers) of the effectiveness of psychosocial, rehabilitation, psychoeducational and psychotherapeutic measures. References: 1. Mitikhin, V.G., Solokhina, T.A. No significant relationships."}
+{"text": "A 73-year-old male patient developed a poorly differentiated squamous cell carcinoma in the anal canal nine months ago. He was treated with two cycles of 5-fluorouracil and cisplatin and concomitant radiotherapy , with complete remission. Since forty-five days he presentes a painful perianal and intergluteal erosion with circinate pustular borders. Light microscopy showed pseudoepitheliomatous hyperplasia of the epidermis with microabscesses of inflammatory cells (neutrophils and eosinophils) and acantholytic keratinocytes . Indirect immunofluorescence was positive for IgG, with an intercellular pattern, 1:80 titer. The diagnosis of radiotherapy-induced pemphigus vegetans was established and there was significant regression with oral prednisone (40 mg) and topical betamethasone. A 73-year-old male patient developed a vegetating lesion in the anal canal nine months ago; the histopathology showed a non-keratinizing poorly differentiated squamous cell carcinoma. He was treated with two cycles of 5-fluorouracil and cisplatin and concomitant radiotherapy , with complete remission. The control colonoscopy and endoscopy after six months of treatment were normal. Forty-five days before coming to the clinic again, he had a painful perianal and intergluteal erosion with circinate pustular borders and some isolated pustules, with surrounding erythema . He was a)Ulcerated herpes simplex associated with immunosuppressionb)Ulcerated radiodermatitisc)Pemphigus vegetansd)Tinea associated with immunosuppressionThe histopathological findings were suggestive of pemphigus vegetans, which may present with acantholytic clefts associated with polymorphonuclear microabscesses,There was no therapeutic response to systemic antibiotics and antivirals initiated before the results of the investigation, and there was significant regression with oral prednisone (40\u2009mg) and topical betamethasone. After seven days, the pustular border disappeared, and there was total symptom regression, with the appearance of some hyperkeratotic and verrucous central areas . Later, There are several reports of radiotherapy-induced pemphigus vulgaris, but not of the vegetans variant. Reported cases are restricted to the irradiated area,The mechanism of induction of autoimmune acantholytic diseases by radiotherapy must be complex. One possibility is the antigenic alteration by radiation;This case demonstrates the possibility that pemphigus vegetans lesions may occur locally on a previously irradiated area.None declared.Hiram Larangeira de Almeida Jr.: Approval of the final version of the manuscript; design and planning of the study; drafting and editing of the manuscript; collection, analysis, and interpretation of data; intellectual participation in the propaedeutic and/or therapeutic conduct of the studied cases; critical review of the literature; critical review of the manuscript.Ant\u00f4nia Larangeira de Almeida: Approval of the final version of the manuscript; design and planning of the study; drafting and editing of the manuscript; collection, analysis, and interpretation of data; intellectual participation in the propaedeutic and/or therapeutic conduct of the studied cases; critical review of the literature; critical review of the manuscript.Pedro Henrique Evangelista Martinez: Approval of the final version of the manuscript; design and planning of the study; drafting and editing of the manuscript; collection, analysis, and interpretation of data; intellectual participation in propaedeutic and/or therapeutic conduct of the studied cases; critical review of the literature; critical review of the manuscript.Ana Let\u00edcia Boff: Approval of the final version of the manuscript; design and planning of the study; drafting and editing of the manuscript; collection, analysis, and interpretation of data; critical review of the literature; critical review of the manuscript.None declared."}
+{"text": "Trypanosoma brucei. Despite important advances in the reduction or disappearance of HAT cases, AAT represents a risky reservoir of the infections. There is a strong need to control AAT, as is claimed by the European Commission in a recent document on the reservation of antimicrobials for human use. Control of AAT is considered part of the One Health approach established by the FAO program against African Trypanosomiasis. Under the umbrella of the One Health concepts, in this work, by analyzing the pharmacological properties of the therapeutic options against Trypanosoma brucei spp., we underline the need for clearer and more defined guidelines in the employment of drugs designed for HAT and AAT. Essential requirements are addressed to meet the challenge of drug use and drug resistance development. This approach shall avoid inter-species cross-resistance phenomena and retain drugs therapeutic activity.Human African Trypanosomiasis and Animal African Trypanosomiasis (AAT) are neglected tropical diseases generally caused by the same etiological agent, Trypanosoma brucei (T. b.) gambiense, present in Western and Central African countries, and the zoonotic T. b. rhodesiense, found in over 13 countries of Eastern and Southern Africa regions , with implications for both livestock and wildlife, and Human African Trypanosomiasis (HAT), also known as \u201csleeping sickness\u201d. HAT is caused by the etiological agent regions . AAT is Glossina sp.) in tsetse-inhabited areas. On the other hand, socio-economic instability, and geopolitical disputes compromise the fragile disease surveillance systems , , and the disubstituted compound . Isomethamidium can bind the kDNA with high affinity with an unconventional sideways geometry. The drug is preferentially accumulated in the mitochondrion (gamma-subunit of ATPase). Mutation of the ATP synthase subunit is sufficient to cause a substantial level of resistance. It is mainly prescribed to treat early infections caused by oma spp. . It is aoma spp. . It is poma spp. . IsometaT. b. evansi in camels and horses . Po. PoT. b.st T. b. . This wo and NMT . An addi and NMT . The mos and NMT profile, and very good selectivity [3 was able to cure the 60% of mice in a systemic model of HAT, and it can successfully cross the BBB. However, it was unable to clear parasitemia in a CNS model of the disease. Following the same approach, diaminopurines were also identified as compounds with antitrypanosomal activity. Optimization of hit-compounds led to a new promising entity with improved absorption, distribution, metabolism and excretion (ADME) properties and the efforts of international partners to engage other ministries and the community in the implementation of control strategies. The success of this strategy is largely attributed to the engagement of stakeholders and strategies including the use of insecticides to treat cattle as live bait for tsetse, therefore breaking the transmission of trypanosomes to both humans and animals [T. b. gambiense is still a problem [An effective and sustainable control of African Trypanosomiasis will be directly reflected on agricultural development and veterinary and public health, therefore contributing to poverty alleviation and population wellbeing. Animal health, public health, and economic needs sustain the urge to control Trypanosomiasis in sub-Saharan Africa. Since treatment of AAT reduces the animal reservoirs of zoonotic vector-borne programs . As a cldesiense . Controld to HAT . The ina animals . This fi problem .Trypanosoma spp. between animals and humans must be carefully monitored [Resistance to trypanocidals is becoming common, cross-resistance between classes has been identified, and resistant trypanosomes may pass from animals to humans. Since human\u2013animal proximity increases the risk of spill over and crossing species barriers, the interchange of onitored . Part ofTrypanosome species, for which the underlying mechanisms are yet to be discovered. Genetic combinations among different breeds and the introduction of trypanotolerant phenotypes may result in a balance between productivity and resistance to Trypanosomiasis, leading to a sustainable production and economical benefit [Trypanosoma spp. life cycle must prioritize collaboration and coordination of efforts at national, provincial, and district levels to integrate human health and veterinary and agricultural sectors together with wildlife and natural resources advocates, epidemiologists, policy makers, researchers, the pharmaceutical industry, and all those involved in epidemic preparedness. A framework must be designed in order to achieve: (i) depletion of parasite reservoirs through active case detection and treatment of the infected humans and domestic animals; (ii) ensure the best available treatment is employed and is adequate for the disease stage; (iii) reduction in the tsetse fly population and human and animal contact with tsetse flies by protecting population health vulnerabilities; (iv) reduction in human\u2013wildlife and livestock\u2013wildlife contact; (v) detection of both human and animal cases; (vi) development of effective communication strategies between all intervenors and implementation of guidelines and training opportunities for health workers; (vii) translation of research findings to solutions in order to support the development of new safer drugs for HAT and AAT prevention, more advanced treatments, and field-friendly techniques for an early diagnosis [Regarding vector control measures, both chemical and biological interventions and genetic control of these flies (releasing sterile insects into the wild) have been attempted. The interventions did not give effective results, and caused severe environmental consequences, besides the selection of insecticide-resistant tsetse flies . At the benefit . From thiagnosis ; and an effective surveillance of infection among wildlife, domestic animals, and humans; (ii) implementation of a vector surveillance system and control measures; (iii) implementation of an effective system for disease notification in both animals and humans; (iv) implementation of effective, sensitive, and fast diagnostic tools applicable to field conditions; (v) creation of an effective network linking communication between stakeholders, medical and veterinary departments, and government and policy makers; and, finally, investment in the development of safer and more easily available HAT and AAT therapies and prophylactics. Cooperation among different actors will make this approach feasible and sustainable."}
+{"text": "The aforementioned educational event together with the 5th Teaching Course on Rare Neurological Diseases brought together a lively audience of over 1400 participants in a hybrid format, both online and on-site.The first day of the Summer School included presentations on the latest and most exciting or pressing issues in Neurology.The event started with a welcome address by Dafin Muresanu (Romania), Natan Bornstein (Israel), Volker Homberg (Germany), and Wolfgang Grisold (Austria).Wolfgang Grisold held a short presentation on the World Federation of Neurology (WFN) institution and activities. The World Federation of Neurology encompasses 6 regions and 123 member societies worldwide. As the World Health Organization approved the Global Action Plan to address epilepsy and other neurological disorders, the 10 years intersectoral action plan of the WFN was addressed, which is set to target:Followingly, Policy;Diagnosis and treatment;The implementation of strategies for promotion and prevention;Fostering research and innovation;Strengthening of public health approaches.The WFN activities include communication with regional and member societies, increasing the impact of international cooperation, education programs, development of publications, and international adaptation.Volker Homberg (Germany) and Dafin Muresanu (Romania) introduced the first session and covered topics such as neurorehabilitation, post-stroke deficits and post-stroke recovery.Volker Homberg (Germany), President-Elect of the World Federation of Neurorehabilitation (WFNR), presented a future perspective for neurorehabilitation, also highlighting the pillars of WFNR, namely (1) improvement of science, (2) improvement of services, and (3) improvement of education in neurorehabilitation. In the context of the global situation, where over 1 billion people live with some form of disability (and the number is increasing), prof. Homberg highlighted the differences in the availability of trained staff among different income countries and discussed high-tech and low-tech options for neurorehabilitation. Prof. Homberg pinpointed the strategies for neurological rehabilitation (restoration vs. compensation): replacement of dead tissue, \u201cwake up\u201d alternative structures, teaching bypass strategies, replacing functions by aiding devices, and adapting the environment to patients. He presented exciting avenues of technology for rehabilitation, such as rehabilitation robots, VR/AR technology, and brain-computer interfaces, putting an emphasis on the role of motivation in neurorehabilitation and the prospect of serious games, which can have a decisive role in therapeutic strategies. In contrast, the importance of more available low-tech options and the role of enriched environments were also marked, and the limitations and opportunities for both high-tech and low-tech undertakings were discussed. Pharmacological options for recovery and the latest achievements in neurorehabilitation were also addressed.Dafin Muresanu (Romania), Chairman at the Department of Neurosciences, Iuliu Hatieganu University of Medicine and Pharmacy in Cluj-Napoca (Romania), presented advances and updates in neurorecovery after stroke, pinpointing the need for better evidence-based approaches in stroke, supported by the following 3 pillars:Theory and basic research;Evidence-based parameters;External validity.According to Prof. Muresanu, the whole science and practice of neurorecovery are based on the pillars above. The burden of neurological disorders in Europe was also discussed, with stroke being a significant component of the disease burden. Prof. Muresanu showcased the AHA/ASA guidelines, the role and advantages of the GRADE system, as well as the similarities with EAN guidelines. The role of multimodal agents in contrast to neuroprotectants for neurorehabilitation was also approached.Michel Brainin (Austria), Emeritus Professor of Neurology and Chair at the Department of Clinical Neurosciences and Preventive Medicine of Danube University in Krems (Austria), centered on cognitive deficits after stroke. Prof. Brainin's first message was that the most common manifestation of vascular diseases is not reflected in stroke but in cognitive impairment and dementia. Furthermore, he took a more focused glance at vascular cognitive impairment and what cognitive domains it affects. He discussed the risk and protective factors for dementia and stroke, presenting a case study. He also approached several topics, such as small vessel disease, strategic infarct, preexisting vascular damage, and preexisting Alzheimer's disease.The last presentation of the session was held by The second session was introduced and coordinated by Michael Brainin (Austria) and Natan Bornstein (Israel).Wolfgang Grisold (Austria), President of WFN, who discussed the educational activities of the World Federation of Neurology (WFN). Prof. Grisold discussed the IGAP , which centers around developing education training, structures for training, making research attractive, and promoting a public health perspective. He then presented the mission and current WFN educational activities, including accredited training centers, department visit programs, junior travelling fellowships, WFN grants, eLearningHub, and Young Neurologist programs.The first to present was Johannes Vester (Germany), Head of Biometry & Clinical Research at the Institute for Data Analysis and Study Planning (IDV) in Gauting (Germany) then presented \u201cA new gold standard to improve TBI clinical research \u2013 the multidimensional approach\u201d. The gaps in traditional trial designs and the need for multidimensional approaches were highlighted to capture the global status of TBI patients as accurately and comprehensively as possible. He outlined current approaches and different scales used in research, pinpointing the more accurate picture of outcomes that the multidimensional analysis offers in contrast to the often employed one-criterion paradigm, which has been the standard in the research of neuroprotective treatments over the past decade. To support his point, he discussed the meta-analysis of the CAPTAIN trials, trials based on multidimensional approaches.David Vodusek (Slovenia), Emeritus Professor of Neurology at the Faculty of Medicine from the University of Ljubljana (Slovenia), presented \u201cNeurological and neurophysiological evaluation of the lower sacral segments\u201d. Prof. Vodusek discussed steps in the diagnostics, the difficulty of assessing lesions affecting the peripheral nervous system in contrast to central nervous system (CNS) evaluation, methods, the testing of the motor function along with some issues in reflex testing, diagnosis of neurological lesions in sacral segments through different tools (including electromyography) and many other inspiring subjects.rd session of the day was introduced by Antonio Federico and Tudor Lupescu (Romania), addressing neuropathies and neurosciences in migrant populations.The 3Antonio Federico , Emeritus Professor of Neurology at the Department of Medicine, Surgery and Neurosciences from the University of Siena in Siena firstly discussed aspects of neurology and neurosciences in migrants and refugees, describing the global situation and the effects of immigration, both positive and negative, and pinpointed the phenomenon of \u201cbrain drain\u201d \u2013 the migration of highly educated individuals- in certain territories. Furthermore, Prof. Federico outlined the relationship between refugee status and migration with the health system and the aspects which link migration and neurosciences . He discussed the specific brain diseases in immigrants and refugees, showcased the influence of migration on brain development, and outlined some protective factors encountered in migrants which mediate cognitive disturbances. Finally, the needs and limitations of approaching the neurological health of migrants and the impact of migration on children were also topics touched upon.Max Hilz (Germany), from the Icahn School of Medicine at Mount Sinai, New York (USA) and University Erlangen-Nuremberg (Germany) offered an insightful presentation on \u201cDiabetic autonomic neuropathy\u201d, discussing the complications of diabetes and the relationship of diabetes with neuropathies, highlighting the importance of making an early diagnosis to prevent fatal outcomes. In addition, he discussed the fluctuation of heart rate and blood pressure with age, how to diagnose cardiac diabetic neuropathy and offered recommendations for assessment and diagnostic criteria.Tudor Lupescu (Romania), the Head of the Neurology Department from Agrippa Ionescu Hospital in Bucharest (Romania), presented diagnostic approaches to neuropathies. Differential diagnostics, profiling, timing assessment, types of neuropathies and their symptoms were the topics covered and presented in an inspiring case study.th session was introduced by Marc Fisher (USA) and Urs Fischer (Switzerland).The 4Marc Fisher (USA), Professor of Neurology at Harvard Medical School (USA) showcased his presentation \u201cRepurposing neuroprotection (Cyto) and recovery enhancing drugs in the thrombectomy era\u201d, where he discussed the ischemic penumbra as the target of acute stroke therapy, the relevance of combining cytoprotection with reperfusion, and the need for multi-targeted interventions, as well as the factors for multi-targeted approach. Decompressive surgery was also addressed as a topic. Further on, Urs Fischer (Switzerland), the Chairman of the Department of Neurology at the University Hospital in Basel (Switzerland) presented the \u201cManagement of spontaneous intracerebral haemorrhage\u201d. Prof. Fischer underlined the need for more recent evidence-based guidance in the global burden of stroke, discussed therapeutic approaches and the importance of lowering blood pressure, and showcased international randomized control trials, presenting their outcomes.Natan Bornstein (Israel), Professor of Neurology at Tel-Aviv University, Sackler Faculty of Medicine (Israel) discussed \u201cDiabetes and Stroke\u201d. One hundred years after the discovery of insulin, his insightful presentation began with a mention of diabetes as the leading risk factor for stroke and a short reminder of the increasing global burden of stroke (12/2 million new stroke cases per year with a significant proportion of DALYs). It repeatedly highlighted the critical role of primary and tertiary prevention for stroke. Type 2 diabetes will increase the risk of stroke and double the risk of stroke occurrence, stroke outcomes being significantly worse in patients with diabetes. Prof. Bornstein highlighted that diabetic patients have a risk of stroke similar to people without diabetes who are 25 years younger. Furthermore, Prof. Bornstein discussed the role of gut hormones and incretin-based therapies, presenting randomized control studies, and presented the role of new therapies that demonstrated protective effects in patients with type 2 diabetes and higher risk of cardiovascular complications or with established cardiovascular disease (SGLT 2 inhibitors: GLP \u2013 1 RAs). Moreover, he talked about the importance of neurologists in managing patients with type-2 diabetes mellitus, controlling diabetes and other risk factors to prevent initial stroke and stroke occurrence, and the importance of preventing atherosclerosis both for stroke and dementia prevention. He mentioned that controlling risk factors through medication and lifestyle modification can reduce the risk of stroke by 90%. Following his presentation, Laszlo Csiba (Hungary), Professor of the Department of Neurology at the Debrecen University in Debrecen (Hungary) discussed interesting cases from daily practice.th International Summer School of Neurology, the \u201cPsychiatry Perspectives in Neurocognitive Disorders\u201d parallel session, and the 5th Teaching Course on Rare Neurological Diseases will be highlighted in future materials.Other information and further details on the 17"}
+{"text": "Under circumstances of pervasive global aging combined with weakened traditional family elder care, an incremental demand for institutional elder care is generated. This has led to a surge in research regarding institutional elder care. Rural residents\u2019 institutional elder care is receiving more attention as a major theme in social sciences and humanities research. Based on 94 articles related to rural institutional elder care, this study identified the most influential articles, journals and countries in rural institutional elder care research since 1995. This was done using science mapping methods through a three-step workflow consisting of bibliometric retrieval, scoping analysis and qualitative discussion. Keywords revealed five research mainstreams in this field: (1) the cognition and mental state of aged populations, (2) the nursing quality and service supply of aged care institutions, (3) the aged care management systems\u2019 establishment and improvements, (4) the risk factors of admission and discharge of aged care institutions, and (5) deathbed matters regarding the aged population. A qualitative discussion is also provided for 39 urban and rural comparative research papers and 55 pure rural research papers, summarizing the current research progress status regarding institutional elder care systems in rural areas. Gaps within existing research are also identified to indicate future research trends , which provides a multi-disciplinary guide for future research. The rapidly aging population combined with the weakening of traditional family aged care support ,2,3,4 haThe contribution of this study to the research field of rural institutional elder care is as follows: (1) The selection method of the literature samples covered in this paper is relatively comprehensive, and the high-frequency keywords related to rural institutional elder care extracted from the literature samples can reflect current research topics; (2) This paper presents high-impact articles, journals, countries, and authors related to rural institutional elder care; (3) This research explores the research evolution in the field of rural institutional elder care by using a scoping analysis method, and discusses the gaps within existing research, to identify future research topics. It should be noted that this review is a summary of the global research on rural institutional elder care, and in order to ensure the comprehensiveness of the review, it is not based on any country\u2019s definition standard of \u201crural\u201d and \u201curban\u201d. The division of \u201crural\u201d and \u201curban\u201d in this review follows the division criteria in the original literature samples. In other words, this review distinguishes between \u201crural\u201d and \u201curban\u201d based on the results of the search formula TS = and the specific content of the literature sample. Meanwhile, among the 94 literature samples, 39 comparative studies of urban and rural institutional elder care were retained, assuring enough relevant rural sample for conclusions.The remainder of this paper is organized as follows. The following section describes the overall research methods of science mapping and qualitative discussion. The third section shows the visualized scientific atlas and the results of the scoping analysis. The fourth section expands on the above analysis results and discusses the research gaps and trends in this field. The final section summarizes current research as identified and described in this review.Introduced by Pritchard , bibliomPain deterioration within 1 year predicts future decline of walking ability: A 7-year prospective observational study of elderly female patients with knee osteoarthritis living in a rural district; Multidrug-resistant organism infections in US nursing homes: A national study of prevalence, onset, and transmission across care settings and 1 October 2010\u201331 December 2011, Prevalence of methicillin-resistant Staphylococcus aureus (MRSA) in patients in long-term care in hospitals, rehabilitation centers and nursing homes of a rural district in Germany [Telerehabilitation for older people using off-the-shelf applications: Acceptability and feasibility and Assessing end-of-life preferences for advanced dementia in rural patients using an educational video: A randomized controlled trial [The Web of Science combines a traditional citation index with advanced Web technology and multiple and unique functions that accurately retrieve targeted literature. Moreover, it contains comprehensive literature information . As such Germany ; Other eed trial ,14. FurtVOSviewer, a text-mining tool developed by Van Eck and Waltman , was adoQualitative discussion is the final step required following a bibliometric search and scoping analysis. Qualitative research is always helpful to provide readers with more in-depth and useful insights ,19. An iGenerally speaking, scholars pay limited attention to rural institutional elder care. From This study systematically analyzes the source journals of 94 research articles on rural institutional elder care. The results are shown in Journal of Rural Health is found with the highest literature output, followed by Journal of the American Geriatrics Society, with both the second highest literature output and average citation times. From the perspective of average normalized citation, journals such as Collegian and JAMA Network Open are rated with the highest annual average influence.In The minimum number of documents of an author and the minimum number of citations of an author set in VOSviewer are 2 and 15, respectively. Of the total 357 authors in the literature sample, 22 met the selection criteria. Literature influence was assessed using Norm. Citations. As shown in Chinese researchers indicated by the red clusters in the co-authorship map contributed the highest value of Norm. These citations focused on exploring the relationship between social support and mental health and health-related quality of life in rural nursing homes in China and the gender differences in institutional care choices. For example, Zhang, et al. construcThis study identified those countries active in rural institutional elder care research, with the United States, Australia, and China standing out. Using VOSviewer, these countries\u2019 contribution to rural institutional elder care research is identified and evaluated. When drawing the map of countries conducting research in rural institutional elder care research, the minimum number of documents of a country and the minimum number of citations of a country were both set to 1. Finally, 23 out of 25 countries met the conditions. Keywords spotlight the main topic content of studies and depict the themes that have been focused on within a given domain . A netwoBased on the connection strength between keywords, VOSviewer divides 35 keywords into five clusters with different colors for distinction: red, green, blue, purple, and yellow see . It can Of the 94 identified research studies on rural institutional elder care, 39 offer relevant research conclusions based on comparative analyses between urban and rural institutional elder care, while the remaining 55 provide a more in-depth investigation specific to rural institutional elder care. According to the five mainstream research topics presented in the map of co-occurrence of keywords, studies on rural institutional elder care are classified.When exploring the present situation of institutional elder care in rural areas from urban\u2013rural comparative studies, a series of similarities and differences between rural and urban institutional elder care are identified. To provide clarity for readers, the primary trend of urban\u2013rural comparative studies is also discussed individually from the five research mainstreams identified from the keyword analysis, including (1) the cognition and mental state of the aged population, (2) the nursing quality and service supply of aged care institutions, (3) aged care management systems\u2019 establishment and improvement, (4) the risk factors of admission and discharge of aged care institutions, and (5) healthy institutional elder care and deathbed matters of the aged population.In the comparative studies of rural and urban institutional elder care on the cognition and mental state of the aged population, the happiness, satisfaction, depression, and cognitive level of residents and related personnel in rural old-age care institutions are the main research objects. Generally speaking, the happiness of the elderly in rural old-age care institutions is lower than that found in urban old-age care institutions . The satIn the meantime, from the comparative studies of rural and urban institutional elder care on the nursing quality and service supply of aged care institutions, it is generally believed that the level of nursing quality and service supply in old-age care institutions in urban areas is higher than in rural areas . This faLikewise, for rural and urban institutional elder care comparison concerning the elderly care management systems\u2019 establishment and improvement, the main research focus lies in the characteristics and recruitment paths of certified nursing assistants. Although both the staff of nursing homes in urban and rural areas rely heavily on relatives and friends in order to obtain recruitment opportunities, rural nursing staff are more likely to receive training in nursing institutions than those in urban nursing homes that might be trained by community colleges or websites .Furthermore, the differences between admission and discharge status of urban and rural residents and the exploration of related influencing factors remain a main focus. In the research on the status quo of admission to nursing homes, in general, the rural elderly tend to care for nursing homes better than the urban elderly ,62,63,64In the comparative studies of rural and urban institutional elder care on the healthy institutional elder care and deathbed matters of the aged population. There are two main emphases, one health and disease, and the other end-of-life decisions and care. In addition, in the contrastive research of health and diseases of the elderly between urban and rural institutional elder care, on the one hand, the significant regional differences in the level and quality of health services of residents in nursing homes between urban and rural areas are confirmed across many quality indicators . On the Studies on rural institutional elder care are more specific in scope than comparative studies. Certain characteristics unique to the rural setting can be found. To provide readers with structured and systematic insights, the discussion is also unfolded from the five research mainstreams identified from the keyword analysis, namely (1) the cognition and mental state of the aged population, (2) the nursing quality and service supply of aged care institutions, (3) the aged care management systems\u2019 establishment and improvement, (4) the risk factors of admission and discharge of aged care institutions, and (5) the healthy institutional elder care and deathbed matters of the aged population.In rural institutional elder care studies on the cognition and mental state of the aged population, scholars have described the cognition and mental state of rural institutional elder care-related groups, such as residents, family members and staff ,79,80. FFor the nursing quality and service supply of aged care institutions, the influence of facilities and service conditions of rural nursing homes on the quality of life, physical health, mental health, and social relations of the elderly has been confirmed . For theFor the rural aged care management systems\u2019 establishment and improvement, research topics can be roughly divided into two streams, staff management and institution management. In terms of staff management, there are a range of problems leading to the ineffective implementation of management systems. Some of these shortcomings are as follows: inadequate consideration of family members\u2019 opinions by management and staff , lack ofIn studies of rural institutional elder care on the risk factors of admission and discharge of aged care institutions, related factor analysis has always been a research priority. A high social capital level influences family members\u2019 familiarity with nursing homes in rural communities . In turnRegarding healthy rural institutional elder care and deathbed matters regarding the aged population, two main themes are identified: health and disease and end-of-life decision and care. In the field of health and diseases, the main concerns are adverse drug reactions in old-age care institutions , microbiAlthough the number of published research studies on institutional elder care in rural areas is relatively small, significant research gaps can be summarized by analyzing the existing literature to inform related stakeholders of future research directions. Based on the discussion of mainstream research topics and gaps, the framework of near-future directions in rural nursing homes is proposed and shown in Nowadays, comparative studies between urban and rural institutional elder care are an evident priority, where differences between urban and rural depressed and demented elderly are among the most commonly adopted research themes ,78,116. Compared with urban institutional elder care, the resource allocation of rural institutional elder care shows great room for improvement. Thus, scientific and rational resource allocation is needed for rural institutional elder care. Future research on staffing and capital investment is recommended. Furthermore, the rural institutional elder care system should be standardized, so that the innovation research of rural institutional elder care models is required for accumulation. In recent years, intelligent nursing homes , telemedThe essence of the nursing home is an institution, and its management mode is the core. According to the present research situation, the management mode of rural nursing homes is backward, so further research on management mode innovation is needed to promote the development of rural elder care.Descriptive and empirical research on influence factors of the admission and discharge of nursing homes pave the way for countermeasure research. The significance of countermeasure research lies in the accumulation of policy planning. With a global trend of an aging population, many countries have attached great importance to planning and developing old-age care policies , suggestOverall, the health level, illness condition, and end-of-life status of the elderly in rural old-age care institutions are worse than those in urban old-age care institutions. Furthermore, the improvement of healthy institutional elder care and end-of-life status is called for by society.Journal of Rural Health, Journal of the American Geriatrics Society, Collegian and JAMA Network Open. (2) Keywords are determined by co-occurrence keyword analysis, and the mainstream research keywords of institutional elder care in rural areas can be classified into five aspects: the cognition and mental state of the aged population; the nursing quality and service supply of aged care institutions; aged care management systems; risk factors of admission and discharge of aged care institutions, and healthy institutional elder care and deathbed matters of the aged population. (3) Co-authorship analysis reflects the most frequently cited articles from Yang et al. who have the highest Norm. Citations, with their work mainly exploring the relationship between social support and mental health, and health-related quality of life in rural nursing homes in China, as well as the gender differences in institutional care choices. (4) The countries active in carrying out research on rural institutional elder care include the United States, Australia, and China, significantly contributing to this research field.This study of rural institutional elder care follows a bibliometric research paradigm, employing scoping and qualitative analysis to find the current research scope and future directions. A total of 94 related articles are selected as samples for analysis with results listed as follows: (1) The influential journals that publish papers on rural institutional elder care include According to the outcomes of scoping analysis, this study further identifies gaps within this research field. Consequently, a systematic framework for further research is proposed: (1) There are only a few multi-dimensional comparative studies, and in the future, more attention should be paid to rural institutional elder care comparisons between developed countries and developing countries, comparison of various indicators of institutional old-age care in urban and rural areas, and comparison between ordinary old-age groups and special old-age groups; (2) Compared with urban institutional elder care systems, rural institutional elder care models and technology have greater room for improvement, and both the market and the government should actively encourage innovative research on rural institutional elder care; (3) Studies on urban institutional elder care have offered many notable recommendations, but those addressing rural areas and their circumstances are limited, and the sustainable development of rural institutional elder care model remains absent. In order to identify developmental pathways and provide practical policy recommendations, further efforts to upgrade and revitalize rural institutional elder care are needed.This study focuses on the research progress of rural institutional elder care, with the research results limited by the scope of the research literature samples but not specifically listed and selected the definition of urban and rural research. Furthermore, this research sample is derived from Web of Science Core Collection only, which may limit the scope of the review. In defining the literature sample, the completeness is constrained by the keyword indicators on which the sample selection is predicated so future research could expand the search query. Moreover, only journal papers were selected, excluding minutes, letters, etc., which ordinarily offers limited insight, but this remains an assumption. This study only contains English literature, and does not analyze the research output published in other languages, which also may result in the omission of important references in related fields."}
+{"text": "Advances in Perovskite Quantum Dots and Their Devices\u2019 is a new open Special Issue of Materials in which original and review papers on the novel findings of synthesis, deep understandings of properties, and advanced potentials of applications in perovskite quantum dots are reported and published.\u2018Owing to their prominent properties including tunable bandgaps, strong absorption, efficient emission, and long carrier diffusion lengths, perovskites composed of metal-halide have rapidly emerged as materials with great potential in the last decade. Thus, their wide applications in solar cells, light-emitting diodes, lasers, photodetectors, X-ray scintillators, and catalysis have attracted the attention of researchers and captivated the broad scientific community.Furthermore, with the adaption of bulk perovskites to nanoscale ones, quantum dots exhibit a vast size-dependent optoelectronic performance, suggesting promising commercialization ability . For insThe research interests of this Special Issue include, but are not limited to, the following: the exploration of preparation methods; the scientific understanding of structures and optoelectronic mechanisms; the optimization of properties; wide-ranging applications; and the fabrication and performance enhancement of devices based on perovskite quantum dots."}
+{"text": "Dear Editor,Acute localized exanthematous pustulosis (ALEP) is an atypical variant of acute generalized exanthematous pustulosis (AGEP), a rare drug reaction.3) and serum C-reactive protein. The pustule secretion culture was negative. The skin biopsy revealed intraepidermal subcorneal pustules and a superficial perivascular lymphocytic infiltrate is a particular form of AGEP. Approximately 25 reports have been published in the literature, confirming that it is a rare drug reaction.5As ALEP is a self-limited disease, the mainstay of treatment is the withdrawal of the suspected drug, promoting symptom improvement within a few days. Support therapy with topical or oral corticosteroids may be appropriate for the treatment of pruritus and inflammation in prolonged cases.In conclusion, ALEP is an unusual drug-induced skin reaction, and the majority of published cases were secondary to the use of antibiotics. However, it is important to emphasize that chemotherapeutic agents of the taxane class may also be responsible for this skin reaction.None declared.Ana Carolina Tardin Rodrigues de Medeiros: Statistical analysis; design and planning of the study; drafting and editing of the manuscript; intellectual participation in the propaedeutic and therapeutic conduct of the studied cases; critical review of the literature.Juliana Lopes Correa: Collection, analysis, and interpretation of data; drafting and editing of the manuscript; critical review of the literature.Ademar Schultz Junior: Collection, analysis, and interpretation of data; design and planning of the study; drafting and editing of the manuscript.Karina Demoner de Abreu Sarmenghi: Approval of the final version of the manuscript; effective participation in research orientation; intellectual participation in the propaedeutic and therapeutic conduct of the studied cases; critical review of the manuscript.None declared."}
+{"text": "The biogeochemical roles of microbes in the Earth system are relatively well known , but theMagnetospirillum of Alphaproteobacteria: M. magneticum AMB-1 and M. gryphiswaldense MSR-1 [MTB are a group of morphologically, phylogenetically and metabolically diverse prokaryotes , affiliase MSR-1 ,8. Consiet al. [To solve this problem, Jinhua Li and co-workers developed a general strategy for identifying and characterizing uncultured MTB from natural environments at the single-cell level . In receet al. , they fuThis study links, apparently for the first time, the production of magnetic minerals to specific genes in MTB at the species/strain level, building on earlier observations that the genes associated with magnetosome formation vary among different MTB clades . This inmamABEIKMPQ) and the phylum-specific genes related to magnetosome formation. Interestingly, the genes mamL and mamO, which were previously thought to be core genes [mad and man genes may be involved in the growth of bullet-shaped magnetosome magnetite. These findings provide genetic evidence for the phylum-specific morphology of magnetosomes, which indicates that magnetofossil crystal morphology from the ancient geological record has the potential to be a reliable proxy for the taxonomic lineage of ancient MTB and their paleoecology.First, confirmation of the core genes are responsible for diverse chain configurations among MTB clades. For instance, the copy number, arrangement and homology of the mamK gene may influence the magnetosome chain structures in magnetotactic Pseudomonadota, and the Mad24 and Man5 genes may be involved in the assembly of multiple magnetosome chains in MTB of the Desulfobacterota and Nitrospirota phyla, respectively. This study further proposes a general model for the gene networks that control/regulate magnetosome biomineralization, including magnetosome membrane formation, protein sorting, iron transportation and magnetite nucleation, crystal mineralization, and chain assembly, in diverse MTB clades. This finding will further our understanding of magnetosome biomineralization in multiple bacterial clades and could pave the way for use of magnetofossils in paleoecology, paleoenvironment and evolution research.Second, demonstration of the key role of assembly ,9, suggeYet, the general model proposed here remains incomplete and will require refinement. Further investigation of more phylogenetically diverse MTB is needed in order to achieve a deep understanding of magnetosome biomineralization at the molecular level. Nonetheless, the new results of Jinhua Li and co-workers significantly expand our knowledge of the genetic basis for magnetosome biomineralization and will likely serve as a guiding framework for future molecular-scale studies of biogenesis and chain assembly of magnetosomes. The linkage of minerals to genes in MTB systems achieved in this study offers an excellent example for other fields of geomicrobial research."}
+{"text": "The COVID-19 pandemic is having an unprecedented detrimental impact on mental health in people around the world. It is therefore important to examine factors that may buffer or heighten the risk of mental health problems in this context.This study explores the buffering effects of different flows of compassion and the magnifying effects of fears of compassion on the impact of perceived threat of COVID-19 on depression, anxiety and stress, and social safeness.4057 adult participants collected from the general community population across 21 countries from Europe, Middle East, North America, South America, Asia and Oceania, completed self-report measures of perceived threat of COVID-19, compassion, fears of compassion, depression, anxiety, stress, and social safeness.Self-compassion moderated the impact of perceived threat of COVID-19 on depression, anxiety and stress, whereas compassion from others moderated the effects of fears of COVID-19 on social safeness. Fears of compassion moderated the impact of perceived threat of COVID-19 on psychological distress. Only fears of compassion from others moderated the effects of fears of COVID-19 on social safeness. These effects were consistent across countries.Our findings highlight the universal protective role of compassion, in particular self-compassion and compassion from others, in promoting resilience by buffering against the harmful effects of the COVID-19 pandemic on mental health and social safeness. Furthermore, our results reveal that fears of compassion have a magnifying effect on the damaging impact of the COVID-19 pandemic on mental health and social safeness.I wasn\u2019t able to add the full list of authors above. Please add the full list as described below."}
+{"text": "The relationship and mechanism between agricultural low-carbon technology application and farm household returns are not yet clear, especially the lack of evidence from developing countries. This paper takes large-scale farming households in Jiangxi Province, China, from 2019 to 2020 as the research object, and obtains relevant data from field research to explore the intrinsic impact of agricultural low-carbon technology application on the returns of large-scale farming households. Based on the relevant theoretical analysis, the division dimensions of agricultural low-carbon technologies were proposed, and agricultural low-carbon technologies were subdivided into ten specific low-carbon technologies according to six dimensions: tillage system, breeding, fertilization, irrigation, medicine application, and waste treatment. Relevant questions were designed and researched to obtain data on the application status of low-carbon technologies in agriculture and the income cost status of large-scale farmers. Based on the theoretical analysis, the research hypotheses were proposed, and an empirical analysis was conducted based on the obtained data from large-scale farmers. The application of seven low-carbon technologies in agriculture: conservation tillage system, direct sowing technology, selection of compound fertilizer/organic fertilizer/controlled-release fertilizer, soil formula fertilization technology, deep fertilization/irrigation fertilization, sprinkler/drip irrigation/wet irrigation/intermittent irrigation, and straw resourceization significantly improved the income level of large-scale farmers. Furthermore, the application of biodegradable agricultural membranes, biopesticides, and new pesticide-controlled release technologies did not have significant effects on the income level of large-scale farmers, due to their low application and penetration rate. Based on the findings of the paper, the government should strengthen the promotion and subsidies of agricultural low-carbon technologies, especially those technologies that have no significant impact on large-scale farmers\u2019 income, such as biodegradable agricultural membranes, biopesticides, and new pesticide controlled-release technologies, so as to achieve a win-win situation of reducing carbon emissions and increasing farmers\u2019 income. The history and current status of economic development show that economic development is a function of the dual-factor of technological progress and input factor addition . CompareThe existing literature focuses on the carbon reduction effect and driving factors of specific agricultural low-carbon technologies, and pays less attention to the economic consequences of the application of agricultural low-carbon technologies, which limits the popularization and application of agricultural low-carbon technologies to a certain extent ,11,12,13This paper has the following three contributions relative to the previous literature: (1) the existing literature on low carbon technologies in agriculture mainly focuses on the drivers of low carbon technologies in agriculture, but less on the economic consequences of low carbon technologies in agriculture. This paper explores the impact of agricultural low-carbon technologies on the returns of large-scale farmers and provides theoretical support for the long-term sustainable diffusion of agricultural low-carbon technologies. (2) The existing literature on low-carbon technologies in agriculture focuses on specific technologies, such as drip irrigation and soil testing and fertilization, and there is less literature on low-carbon technologies in agriculture in a holistic manner. This paper constructs an agricultural low-carbon technology index based on the characteristics and application of agricultural low-carbon technologies as a standard to measure the degree of application of agricultural low-carbon technologies. The construction of the agricultural low-carbon technology index can help solve the problem that agricultural low-carbon technologies are complex and difficult to measure. (3) This paper adds evidence with Chinese characteristics to the study of agricultural low-carbon technologies by taking the field surveyed large-scale farmers in Jiangxi Province, China, as the research object. Jiangxi Province is a representative agricultural province in central China. Jiangxi has a high forest coverage and a relatively low level of economic development, which represents the situation of major underdeveloped regions in China. Therefore, it is highly representative to carry out agricultural low-carbon technology research in Jiangxi Province. Conducting a study on the impact of its agricultural low-carbon technology application on returns is conducive to revealing bottlenecks in the diffusion of agricultural low-carbon technologies in developing countries, as well as promoting the application of agricultural low-carbon technologies.Based on the discussion and analysis of existing literature, this paper puts forward the research hypothesis of agricultural low-carbon technology driving the income of large-scale farmers. Combined with the survey data of large-scale farmers in Jiangxi Province, China, empirical research and draws corresponding conclusions and policy suggestions are carried out. This paper is structured as follows: Part II is a literature review and the formulation of research hypotheses; Part III is a dimensional classification of low-carbon technologies in agriculture; Part IV is an empirical study, including descriptive statistics of the sample and research hypotheses.2 emissions [Numerous scholars have worked on specific agricultural low-carbon technologies and their impacts. Agricultural low-carbon technologies are a collection of technologies that can reduce agricultural carbon emissions in the production stage of agricultural products (cradle-to-farm gate), such as biochar technology, the in-use of agricultural waste, and cropping systems ,15,16. Bmissions . Low carmissions . Agriculmissions . Meanwhimissions ,23. Thermissions ,25.Some other scholars have conducted in-depth studies on the drivers of low-carbon technologies in agriculture. Farm household characteristics, such as size, age, and gender, have important effects on low-carbon technology adoption . For exaIncreased energy consumption due to economic growth is an important cause of carbon emissions, and thus carbon reduction targets may severely reduce agricultural output ,37,38. AAccording to the theory of technological progress, innovation and application of technology are the core drivers of economic development. Agricultural low-carbon technologies are different from traditional high-carbon technologies, which can not only reduce the level of agricultural carbon emissions, but also increase the output and quality of agricultural products. From the perspective of specific agricultural low-carbon technologies, conservation tillage systems, soil testing and formula fertilization, sprinkler irrigation and drip irrigation and other agricultural low-carbon technologies not only reduce the cost of fertilizer and irrigation water for farmers, but also help to improve the yield and quality of crops. At the same time, ecological and low-carbon agricultural products are more likely to be welcomed by consumers, which helps to improve farmers\u2019 income. The economic benefits generated by the organic combination of various production factors need to be based on a certain scale, that is, economies of scale. Therefore, when studying the economic benefits of agricultural low-carbon technology, we investigate and use farmers with a scale of more than 100 mu, so as to improve the credibility of the research. Therefore, the basic hypothesis of this paper is that the application of agricultural low-carbon technologies has a positive impact on the returns of large-scale farmers, which is analyzed as follows.Tillage systems include no-till, minimum-till, and conventional tillage, among which no-till and minimum-till are conservation tillage systems. The conservation tillage system has significant economic and ecological benefits compared with the traditional conventional tillage system, which can achieve high quality, high efficiency, and high yield in agricultural production . FirstlyHypothesis\u00a01.The conservation tillage system can reduce production costs and help to improve the returns of large-scale farmers.Direct sowing and transplanting are the two main methods of rice cultivation in China at present. Direct sowing refers to the direct sowing of dry seeds or seeds that have been soaked and germinated; transplanting includes the basic processes of germination, seedling raising, and transplanting. As a new rice planting technology in recent years, direct sowing saves labor and energy compared with traditional transplanting, and the yield is not much different from that of transplanting, which can reduce the cost and obtain better economic benefits. Based on the above analysis, Hypothesis 2 is proposed.Hypothesis\u00a02.The application of direct sowing technology can reduce costs and promote the income of large-scale farmers.The agricultural membranes are one of the important carbon sources in the agricultural production process, and crops are often covered with agricultural membranes at the beginning of planting for drought and frost resistance. As a new low-carbon technology in agriculture, the use of biodegradable agricultural membranes can effectively reduce the carbon emissions of agricultural membranes. However, the cost of biodegradable agricultural membranes is relatively high compared to traditional agricultural membranes, and the difference in efficacy between traditional agricultural membranes and biodegradable agricultural membranes is not significant, which increases the cost and is not conducive to economic efficiency. Therefore, the promotion and application of biodegradable agricultural membranes should rely on the government to provide corresponding subsidies to make the use cost of large-scale farmers lower than that of traditional agricultural membranes, in order to effectively improve the utilization degree and realize low-carbon agriculture. Based on the above analysis, Hypothesis 3 is proposed.Hypothesis\u00a03.The application of biodegradable agricultural membranes will increase the cost and reduce the income level of large-scale farmers.The choice of fertilizer type can have a large impact on crop production. Reducing the application of nitrogen fertilizers and increasing the application of organic fertilizers and compound and controlled-release fertilizers can effectively reduce the greenhouse gas emissions of chemical fertilizers. Studies have shown that the application of compound fertilizers and controlled release fertilizers has a longer and more balanced nutritional effect than the application of nitrogen alone, and can increase yields. In addition, when determining the amount of fertilizer to be applied, the use of soil testing and fertilizer application technology can effectively reduce the waste of ineffective fertilizers, reduce costs and reduce the source of fertilizer carbon. In terms of fertilizer application method, deep application and irrigation fertilization can deliver effective fertilizer nutrients to the lower layer of soil and crop roots, and improve the utilization rate of fertilizer. Based on the above analysis, Hypotheses 4 to 6 are proposed.Hypothesis\u00a04.The application of compound fertilizer, controlled-release fertilizer, and organic fertilizer can enhance the profit level of large-scale farmers.Hypothesis\u00a05.The adoption of soil testing and fertilizer application technology can reduce costs and increase the returns of large-scale farmers.Hypothesis\u00a06.Deep fertilization and watering fertilization can improve the utilization rate of chemical fertilizers and enhance the profit level of large-scale farmers.Irrigation methods include conventional irrigation as well as the new sprinkler, drip, wet irrigation, and intermittent irrigation. Sprinkler irrigation is the use of decentralized nozzles for rotary water spraying irrigation; drip irrigation is the irrigation method through fine pipes to irrigation water to the roots of the crop; wet irrigation is to make the field near saturation of water, but does not establish a water layer of irrigation; intermittent irrigation is a certain interval of time, using intermittent water supply to the furrow or border in successive water supply, the use of wave surge flow in the furrow border to advance to wet the soil Irrigation method. Too much water in the soil may lead to problems such as low ground temperature, which may affect the normal growth and development of crops. Compared with the traditional large water irrigation the above four irrigation methods can achieve significant water saving, reduce irrigation water, improve irrigation efficiency, maximize the crop growth water demand and increase yield. In addition, the above four irrigation methods consume less power than traditional pumping flood irrigation, thus reducing carbon emissions. Based on the above analysis, Hypothesis 7 is proposed.Hypothesis\u00a07.The scale farmers using sprinklers, drip, wet irrigation as well as intermittent irrigation can achieve better economic benefits.The use of pesticides is another important source of carbon in agricultural production. Excessive pesticide application not only increases carbon emissions and agricultural production costs, but also threatens food safety and causes environmental pollution. Biopesticide is a general term for a series of new modern pesticides, mainly including biomass pesticides and biochemical pesticides. Compared with traditional pesticides, biopesticides are derived from animals, plants, or microorganisms and can repel pests without increasing the burden on crops, improving the quality and yield of agricultural products. The adoption of new pesticide-controlled release technologies can slow down the volatile process of pesticides, increase efficacy, reduce the use of pesticides, and lower the cost of agricultural production. Based on the above analysis, Hypothesis 8 and Hypothesis 9 are proposed.Hypothesis\u00a08.The adoption of biopesticides can enhance the level of returns of large-scale farmers.Hypothesis\u00a09.The adoption of new pesticide-controlled release technologies can reduce the cost of agricultural production and increase the level of returns of large-scale farmers.The treatment of agricultural waste is a key aspect of low-carbon technology application in agriculture, the most important of which is the fertilizer/feed utilization of straw. Returning straw resourceization can improve soil fertility, maintain soil temperature, inhibit water evaporation and increase crop yields. Burning straw not only leads to air pollution and a large increase in carbon emissions, but also reduces soil fertility and is not conducive to increasing crop yields. Based on the above analysis, Hypothesis 10 is proposed.Hypothesis\u00a010.Straw composting/overstocking can improve soil fertility, increase yields, and raise the level of returns for large-scale farmers.After the questionnaire design, questionnaire surveys were conducted successively: first, the subject group members went to Fuzhou city and Ganzhou city from 15 July to 15 August 2019, and with the assistance of the agricultural bureaus of Fuzhou city and Ganzhou city, they selected key townships in the counties where large-scale farmers were concentrated to conduct field interviews in the countryside; second, with the help of Jiangxi Province\u2019s Second, with the help of the \u201cOne Village, One Product\u201d college student project carried out in Jiangxi Province, members of the research team selected large-scale farmers who came to study at the College of Continuing Education of Jiangxi Agricultural University to conduct interviews from 20 December to 25 December 2020; Third, they went to the Jiangxi Provincial General Survey Team and Jiangxi Provincial Bureau of Statistics to access the information needed for the study. The total number of questionnaires obtained was 350, of which 322 were valid, as shown in As can be seen from y); the independent variables are the 10 agricultural low-carbon technology variables set above; and five additional control variables are set as population.\u03b11 to \u03b115 are variable coefficients, and \u03b8 denotes residuals.In Equation (1), y represents the net profit per mu for large-scale farmers. The average age of household heads in the research area was 47 years old. Only three households were under 30 years old, accounting for 0.9%; 63 households were under 40 years old, accounting for 19.62%; and 87 households were between 40 and 45 years old, accounting for 27.1%. This indicates that the farmworkers of large-scale farming households are generally older, mainly distributed over 40 years old, and these people have greater difficulties in accessing new knowledge and generating new ideas. In addition, 138 of the household heads are party members and cadres, accounting for 43%, a high proportion, indicating that party members and cadres play a pioneering and exemplary role in carrying out large-scale agricultural operations, or it may be that there is a shortage of young and strong rural laborers, and the older generation of laborers who remain in rural areas take up the main administrative work in rural areas. In terms of education level, the education level of heads of large-scale farm households is mainly distributed in high school and below, accounting for 87% of the total, with only 13% share of the university and above, and the largest number of heads of households with junior high school education level. This indicates that the education level of large-scale farm household heads is generally not high, and even university education has many informal full-time graduates, and the overall cultural level is low, which is not conducive to the acceptance and application of new agricultural low-carbon technologies. In terms of household size, the total household size of the studied large-scale farming households is five persons on average, and the labor force is 2.7 persons on average, and the agricultural labor force is 2.2 persons on average. It can be seen that the agricultural labor force is less than half of the total household size, and part of the labor force has been diverted to non-agricultural jobs.An important aspect of the production characteristics is the scale of planting. The object of this paper is the scale of farmers, defined as farmers with a planting area of 100 mu and above, and in the research process we focused on the selection of local large grain growers, as shown in As can be seen from The sample size farmers are mainly large grain farmers, and rice sales are their main source of income. In order to ensure the comparability of data, we only counted the sales income and production cost of rice. The relationship between income cost and land size is shown in It can be seen from Based on the complexity and systematic nature of low carbon technologies in agriculture, identifying and quantifying low carbon technologies in agriculture is the core problem to be addressed in this paper. The academic research on agricultural low-carbon technologies generally follows the traditional technology research paradigm, which simply classifies agricultural low-carbon technologies into binary variables of adoption/non-adoption, on the basis of which the influencing factors of agricultural low-carbon technologies are studied. Pathak and Aggarwal (2012) systematically studied the cost, classification, and improvement directions of agricultural low-carbon technologies, taking wheat and rice as an example in the Indus-Ganges plain of India, which provides an important reference for China . The 10 Low-carbon technologies in agriculture are applied throughout the whole process of agricultural production, and they are reflected in different cropping patterns and crops. Therefore, there is no unified academic standard for the classification of low-carbon technologies in agriculture, but some core classifications are mostly the same. In the process of agricultural production, fertilizers and pesticides are used as the main carbon sources, and the technologies for fertilizer and pesticide application are also used as the core agricultural low-carbon technologies, in addition to breeding, irrigation, and transportation. Scholars have put forward different classifications of agricultural low-carbon technologies. Although they are referred to in different ways, the basic connotations are similar, mainly around breeding, fertilizer, pesticide, irrigation, waste, cropping systems, and machinery, covering the whole process of agricultural production. Based on the basis and consideration of scholars\u2019 research, this paper divides agricultural low-carbon technologies into the following seven dimensions according to the agricultural production chain, as shown in The quantification of agricultural low carbon technologies is the basis for conducting a study on the drivers of agricultural low carbon technology applications on the returns of large-scale farmers. After the dimensional division and explicit classification of low carbon technologies in agriculture, 10 nominal variables for low carbon technologies in agriculture are set based on the design problem. After obtaining data on the application of low carbon technologies in agriculture, the level of application of agricultural low-carbon technologies is reflected by the mean value of each agricultural low-carbon technology application, as shown in Equation (2).ith agricultural low-carbon technology, i-th agricultural low-carbon technology (expressed as 0/1) of the j-th scale farm household, and N represents the number of sample scale farm households. The mean value of each agricultural low-carbon technology was calculated by this formula, and the specific application levels are shown in In Equation (2), As can be seen in The adoption of low-carbon technologies in agriculture not only reduces the level of agricultural carbon emissions, but also improves the efficiency of agricultural operations and increases income. Conservation tillage systems can increase soil moisture retention and nutrients, and improve yields. The application of organic fertilizers, compound fertilizers, and controlled-release fertilizers can improve the utilization efficiency of chemical fertilizers and increase soil fertility; soil testing and fertilizer application can maximize yields according to local conditions; deep fertilizer application and irrigation application can improve the utilization efficiency of fertilizers. New irrigation technologies such as sprinkler and drip irrigation can improve irrigation efficiency and increase yields. New pesticide-controlled release technology and bio-pesticides can control pests and diseases more environmentally friendly and improve the growing environment of crops. Straw resourceization can improve soil fertility, moisturize and increase temperature, and increase yield. Based on the questionnaire data, a linear regression of the model was conducted and the results are shown in As can be seen in As can be seen in 2O, the majority of the P2O5, and a portion of the N in chemical fertilizers. Promoting the return of straw to field has a great potential to reduce the use of chemical fertilizer, air pollutant emission, and environmental burden [The survey data from large-scale farmers in Jiangxi Province, China show that the application of agricultural low-carbon technologies such as conservation tillage system, direct sowing technology, the use of controlled-release fertilizer, deep fertilization, soil testing, and formula fertilization, drip irrigation, sprinkler irrigation, and straw resourceization have a significant positive impact on the income of large-scale farmers. (1) Consistent with Afshar and Dekamin (2022), the results show that conservation tillage systems can reduce the cost of agricultural production, improve income, and increase the returns of large-scale farmers . The conl burden .However, the adoption of new pesticide-controlled release technologies and biopesticides has no significant impact on the returns of large-scale farmers, mainly because the adoption of biopesticides and new pesticide-controlled release technologies in the actual production process is very small and difficult to form a scale. Most large-scale farmers do not know about biopesticides, and the practical application is more difficult. New pesticide-controlled release technology is also relatively small, scale farmers in the use of pesticides generally do not consider the use of controlled release agents, mainly on the function and role of pesticide controlled release agents and cost-effective understanding is not in place. In addition, new pesticide-controlled release technologies and biopesticides are still immature, which also limits their low-cost promotion and application ,54.Furthermore, the increase in household size can raise the income level, and the expansion of the planting scale reduces the unit income level. The increase of labor force can enhance the fine management of unit farmland and increase the unit output, while the expansion of planting scale reduces the level of fine cultivation of unit farmland and lowers the unit output. The effects of increasing household size and expanding planting scale on the level of returns of large-scale farmers are logically consistent intrinsically.The impact of low-carbon technologies in agriculture on the returns of large-scale farmers is systematically explored in this work. Based on the characteristics and application of low carbon technologies in agriculture, an agricultural low carbon technology index is constructed to measure the application of these technologies. Then the impact of low-carbon technologies on the returns of large-scale farmers in Jiangxi Province, China, was investigated through a field survey.The application of seven low-carbon technologies in agriculture: conservation tillage system, direct sowing technology, selection of compound fertilizer/organic fertilizer/controlled-release fertilizer, soil formula fertilization technology, deep fertilization/irrigation fertilization, sprinkler/drip irrigation/wet irrigation/intermittent irrigation, and straw resourceization could significantly improve the income level of large-scale farmers. However, the application of biodegradable agricultural membranes, biopesticides, and new pesticide-controlled release technologies did not have significant effects on the income level of large-scale farmers, probably because the application of the above three agricultural low-carbon technologies in the actual agricultural production process was relatively small and the penetration rate was not high, and the effects on income were not significant. Based on the findings of the paper, some suggestions are proposed.(1)Promote conservation tillage systems. Conservation tillage systems include no-till and minimum tillage, which can enhance soil carbon storage and significantly reduce the carbon emission level of farmland compared to traditional conventional tillage systems, and are key agricultural low-carbon technologies that return farmland from a carbon source to a carbon sink. In addition, a conservation tillage system increases soil organic matter content, regulates soil temperature, enhances soil moisture retention capacity, and improves yield, while reducing tillage costs and increasing economic benefits. Therefore, conservation tillage systems have significant synergistic effects between achieving low carbon agriculture and modernizing agriculture. In the actual production process, most farmers do not have a high awareness of the conservation tillage system, and they are still stuck in the traditional farming mindset that \u201cyou get what you put in, you get what you harvest\u201d, and that more tillage is necessary for high yield. To promote the conservation tillage system, on the one hand, we should strengthen the technical training of farmers, through technology in the countryside, centralized lectures, and other ways to make farmers aware of the advantages of the conservation tillage system; on the other hand, through the agricultural cooperatives, family farms and other local agricultural organizations of scale, so that the majority of farmers see the conservation tillage system can generate real income, driving the implementation of the conservation tillage system.(2)Promote direct sowing technology and encourage the use of biodegradable agricultural membranes. Although there is some decrease in yield compared to the traditional transplanting method, the overall benefit of rice cultivation is significantly increased. In addition, direct sowing technology eliminates the tedious process of traditional seed breeding and reduces the carbon emissions of the breeding process. The adoption rate of direct sowing technology in rice cultivation is gradually expanding, but there is still a significant proportion of large-scale farmers who have not yet used direct sowing technology. The reason for this may be that there are some problems with direct seeded rice technology, such as the increase in weeds, the climatic risk of inversion, and the high mechanization requirements for sowing and harvesting, so the acceptance is not yet high enough. The promotion and application of direct sowing technology should, on the one hand, strengthen the education and training efforts and the application of large households to drive the efforts, and on the other hand, actively solve the problems arising from the application of direct sowing technology, and improve the applicability of direct sowing technology. The popularity of biodegradable agricultural membranes is low mainly because the application of biodegradable agricultural membranes has little effect on improving economic efficiency, and the cost is high compared with traditional agricultural membranes. To promote the application of biodegradable agricultural membranes, it is necessary to strengthen the policy subsidies, improve the tax preferences and subsidies in production and use, reduce the production and use costs of biodegradable agricultural membranes, and make large-scale farmers take the initiative to adopt biodegradable agricultural membranes through government regulation and market-oriented approach.(3)Improve the science and efficiency of fertilizer application. Fertilizer is the first major source of carbon emissions from agriculture, to reduce agricultural carbon emissions, mainly from the use of chemical fertilizers to think of ways. But the growth of crops cannot be separated from chemical fertilizers, which have a great impact on the production results of crops. China is the largest fertilizer user in the world, and for every ton of fertilizer applied, the agricultural output value will increase by 1,245,910,000 RMB. Therefore, improving the science and efficiency of fertilizer application is the only way to achieve low carbon fertilizer use and high-efficiency income. First of all, in fertilizer selection, the use of compound and controlled release fertilizers, as well as organic fertilizers in the selection of fertilizers reduces the application of traditional nitrogen fertilizer. The use of compound fertilizer and organic fertilizer can balance soil nutrients, improve soil fertility and increase yield, while reducing carbon emissions, and the application of controlled-release fertilizer can prolong fertility and reduce the application of chemical fertilizers. Secondly, in the application method, deep fertilization or watering fertilization is used instead of the traditional spreading of fertilizer. Deep fertilizer application and irrigation fertilization can improve the efficiency of fertilizer utilization and reduce the amount of fertilizer, while increasing the yield. Finally, soil testing and fertilizer application techniques are used to determine the amount and type of fertilizer to be applied. Traditional fertilizer application is based on the amount of fertilizer applied in previous years or the amount of fertilizer applied by other local farmers, ignoring the nutrient demand of the soil. Soil formula fertilization can meet the individual needs of the soil, while reducing the waste of useless chemical fertilizers, lowering the soil burden, increasing yields, and improving economic benefits. In the actual production process, large-scale farmers have low awareness of the scientific nature of fertilizer application, and the lack of science in the amount of fertilizer used, the type of fertilizer applied, and the way of fertilizer application has made chemical fertilizer the number one source of carbon in agriculture, and also reduced economic benefits. To improve the science and efficiency of fertilizer application, we should strengthen the training of farmers on fertilizer application and raise their awareness of environmental protection. At the same time, agricultural extension personnel should also go deep into the farmers, go into the fields to give scientific guidance to large-scale farmers, and lead them to apply fertilizer scientifically to realize the synergy of agricultural economic benefits and environmental benefits.(4)Promote the use of new irrigation technology. Compared with the traditional large water irrigation, sprinkler irrigation, drip irrigation, moist irrigation, and intermittent irrigation can improve water use efficiency, reduce water use costs and improve economic benefits. In the sample study area, it is not common for large-scale farmers to adopt new irrigation technologies, and almost no farmers use sprinkler and drip irrigation, while some farmers use wet irrigation and intermittent irrigation. The cost of sprinkler and drip irrigation is higher than that of wet irrigation and intermittent irrigation, and the cost of water saved is not enough to compensate for the equipment cost of sprinkler and drip irrigation, thus the popularity rate is low. To promote new irrigation technologies, we should increase policy support and provide greater subsidies for sprinkler and drip irrigation equipment, so that farmers can afford to buy and use them. At the same time, strengthen the irrigation technology training for large-scale farmers, deepen the concept of new irrigation, and gradually reverse the backward irrigation situation in rural areas.(5)Promote the application of biopesticides and pesticide-controlled release formulations. Pesticide application is one of the important aspects of the agricultural production process and one of the important elements in the transformation of traditional agriculture to modern agriculture. The massive use of modern chemical pesticides on the one hand has greatly reduced crop pests and diseases, ensuring high agricultural yields and providing us with abundant agricultural products; on the other hand, it has also brought about serious environmental pollution, including a large increase in agricultural carbon emissions. As early as 1962, the American scholar Rachel Carson shockingly revealed in Silent Spring the great threat posed by the excessive use of pesticides to the human living environment in modern society. Controlling the excessive application of pesticides can not only reduce the cost of pesticide application for large-scale farmers, but also reduce agricultural pollution and carbon emissions, which is conducive to achieving a deep synergy between the economic and ecological benefits of agriculture. The promotion and application of biopesticides can significantly improve the current situation of pesticide pollution, and the elimination of pests and diseases through biological laws and mechanisms is the future development direction of agriculture. The new pesticide-controlled release technology can extend the efficacy of traditional pesticides, reduce the overuse of pesticides, and reduce the environmental risks brought by pesticides. In the actual agricultural production process, the application of biopesticides is very little, and the adoption of emerging pesticide controlled release technology is also less, mainly because the technology of biopesticides is still in the formative stage, is not mature, the application cost is very high, emerging pesticide controlled release technology also has a high application cost, the scale of farmers on emerging pesticide controlled release technology has not been really recognized. Promote the application of biopesticides can be emerging pesticide control release technology, on the one hand, the drug to strengthen basic research, improve the applicability of biopesticides, and pesticide control release technology to reduce costs; on the other hand, to strengthen the publicity and education of large-scale farmers, so that biopesticides and new pesticide control technology in the vast rural areas to gain recognition; and finally to strengthen policy subsidies to improve the application of large-scale farmers biopesticides and emerging pesticide The enthusiasm of controlled release technologies.(6)Improve the application rate of straw resourceization. The traditional way to deal with straw is to burn or abandon it regardless, which not only wastes the nutrients of the straw itself, but also greatly increases agricultural carbon emissions. Straw resourceization can improve the soil organic matter content, while regulating soil temperature, enhancing moisture storage capacity, and can increase yields without raising costs, improving economic efficiency. Eighty percent of the survey respondents have returned straw resourceizations, indicating that straw is commonly returned to the fields in the actual agricultural production process. For the application of straw resourceization of large-scale farmers, on the one hand, enhance the technical training of straw resourceization, improve the scientific nature of straw resourceization of large-scale farmers, improve the efficiency of straw utilization, and maximize the utility of returning to the field; on the other hand, further promote the application of straw resourceization, improve the popularity of straw resourceization, and strive to achieve the popularization of straw resourceization.(7)Improve the research and development innovation of agricultural low-carbon technologies, and provide a number of agricultural low-carbon technologies with low cost and good benefit. The promotion and application of low-carbon technologies in agriculture are not only conducive to enhancing the economic benefits of large-scale farmers, but also can achieve agricultural carbon emission reduction, which is the only way to achieve sustainable development of modernized high-carbon agriculture. To promote the application of low-carbon technologies in agriculture, farmers are the main body, the government is the leading, and technology is the key. The government should play a leading role in promoting the application of low-carbon technologies in agriculture and provide support for the promotion and application of various low-carbon technologies in agriculture. First, promote the research and development innovation of agricultural low-carbon technologies, and provide a number of agricultural low-carbon technologies with low cost and good benefit. Second, promote the construction of agricultural carbon sink market, and at the same time provide measurement support for farmers\u2019 carbon emission reduction, provide a carbon trading platform for large-scale farmers to achieve carbon emission reduction, and enhance the enthusiasm for large-scale farmers\u2019 carbon emission reduction. Third, drive the application of agricultural low-carbon technologies with new agricultural business entities . Fourth, strengthen the publicity and education for farmers to raise the low-carbon awareness of large-scale farmers. Fifth, propose a national development plan for low-carbon agriculture to provide legal support for the promotion and application of low-carbon agricultural technologies. Sixth, strengthen the construction of rural financial markets, encourage the development of new agricultural financial organizations, and provide financial support for the promotion and application of low-carbon agricultural technologies."}
+{"text": "Editorial on the Research TopicHighlights in diagnostic and therapeutic devices 2021/22Developing flexible systems that monitor human health and deliver feedback therapy are the unmet medical needs for applications of personalized medicine and digital healthcare , 2. Sevei.e., United States, United Kingdom, Germany, Canada, France, Italy, Spain, Israel, Turkey, and Thailand) and nominated universities/institutions , University of California, Los Angeles (UCLA), University of Pennsylvania (UP), Tufts University, and Weill-Cornell Medicine,). Herein, we provide a brief introduction of these published articles and welcome readers to refer to these publications and their associated references for more details on this Research Topic.We are pleased to see the quality of the research submitted to our topic in diagnostic and therapeutic devices. This Research Topic finally contains six research and two review articles that address the recent advances and insights in diagnostic and therapeutic devices from scholars in a variety of countries from sole pressure and flow waveforms by using SYNCSMART software and that the results are within the inter-rater variability, providing a reliable assessment of patient-ventilator asynchrony. Afra et al. offer a comprehensive evaluation of the Vagus nerve stimulation (VNS) therapy system technology for drug-resistant epilepsy, including the technological evolution of the VNS with device approval milestones and a comparison of conventional open-loop and closed-loop generator models. This review could potentially serve as a valuable resource as this anti-epileptic neuromodulation technology continues to evolve. Basnet et al. report examining the field of energy-based medical therapies based on the analysis of patents, indicating an increasingly important role for energy-based therapies in the future of medicine. Prezelski et al. propose a novel multi-point injection cannula for achieving broader volume distribution than current single-needle designs and validate this system in benchtop studies of trypan blue convention enhance delivery in agarose brain phantoms, demonstrating a significant increase in volume distribution compared to single-needle delivery, while significantly reducing the total duration of the procedure. Schumayer et al. present an interesting three-dimensional masking process and demonstrate its successful application for the partial coating of a scleral contact lens electrode. Such techniques could open up more applications, including the mass production of brain electrodes or the structuring of microfluidic systems. Sringean et al. demonstrate the technical feasibility of using multisite wearable sensors to quantitatively assess early objective outcome measures of the ability of patients with Parkinson's disease to get out of bed, which significantly correlates with axial severity scores, indicating that axial impairment could be a contributing factor in difficulty getting out of bed.The articles published on this Research Topic cover a broad spectrum of research in wearable/implantable diagnostic and therapeutic devices that will bring new solutions and perspectives for the next-generation medical devices. We sincerely thank all the authors for their contributions to this Research Topic. It is also essential to acknowledge all the reviewers' time and assistance in ensuring the scientific validity and quality of the work submitted to this Research Topic."}
+{"text": "Terminologies can seem very abstract to end-users. While most health professionals will be familiar with some terminologies , the controlled vocabulary thesaurus used for indexing articles for PubMed or ICD-10, WHO's terminology for disease coding), fewer will be aware of the depth and range of terminologies used in healthcare, nor of the central importance of multilingual standard terminologies in health care interoperability. Following a brief introduction to the use of terminologies, the integration of the International Classification for Nursing Practice (ICNP) the Systematized Nomenclature of Medicine - Clinical Terms (SNOMED CT) will be presented, as an example of the use of terminologies, and their ongoing curation, maintenance and development."}
+{"text": "Social isolation and loneliness are related but distinct constructs. A number of studies have examined these two constructs separately; however, the combined and interactive effects of social isolation and loneliness on health outcomes have rarely been studied. Using the most recent data of the Health and Retirement Study (HRS 2020) collected during the pandemic, this study aimed to explore the latent classes of social isolation and loneliness among adults aged 60 and older and to examine the associated psychological well-being. Social isolation was measured by five indicators, including living alone, no membership in any organizations, and less than once a month contact with children, relatives, and friends. Loneliness was measured by the 3-item UCLA scale. Four classes were identified by the Latent Class Analysis (LCA): neither isolated nor lonely , living alone and lonely , no social participation and lonely , and highly isolated and lonely . The results of multivariate regression indicated that compared to respondents who were neither isolated nor lonely, those who were in the class of living alone and lonely and the class of highly isolated and lonely had more depressive symptoms, stress, anxiety, worry, loneliness during the pandemic. The latent class of no social participation and lonely was associated with more depressive symptoms and covid-related stress. This study emphasizes the importance of specialized intervention strategies targeting the unique needs of older adults with different experiences of social isolation and loneliness."}
+{"text": "The massive production and use of organohalides resulted in their worldwide contamination in soil, sediment and other environmental matrices . In addition, the debromination extent and rate of BDE183 could be enhanced by amendment of the BDE47. This study provides knowledge on new capabilities of Dehalococcoides and its potential in bioremediation of sites contaminated by both DBE47 and BDE183.In a Cimmino et al. deciphered the stoichiometry of pceABCT individual gene products in OHRB of Firmicutes. Notably, in contrast to a previously proposed model, results showed the formation of a membrane-bound PceA2B that could be devoid of PceC. These results provide unprecedented insight into the electron-accepting complex in PCE-dechlorinating OHRB of the phylum of Firmicutes.Reductive dehalogenase is the key enzyme to catalyze halogen removal from organohalides. Based on both transcription and translation analyses, Matturro et al. employed both 16S rRNA gene amplicon sequencing and metagenomic analyses to elucidate the microbial interactions among Dehalococcoides, Methanobrevibacter and Methanobacterium for the efficient dechlorination of trichloroethene (TCE) and reduction of Cr(VI) in a BES. In addition, at sites contaminated with chlorinated ethenes, abiotic factors could determine the fate of chloroethenes by affecting organohalide respiration of OHRB. Li et al. reported that FeS enhanced Dehalococcoides-mediated reductive dechlorination of TCE by formation of FeS nanoparticles and up-regulation of tceA transcription. These results could guide efficient bioremediation of sites contaminated by chlorinated ethenes and other contaminants.Bioelectrochemical systems (BES) hold great potential for bioremediation of sites co-contaminated by organohalides and heavy metals. With the success of the two volumes of this Research Topic, we would like to thank all the authors and reviewers for their valuable contributions. These papers significantly improve our understanding in organohalide-respiring bacteria and their electron transport chains, as well as in dehalogenating microbiome and bioremediation implications. Notably, several research gaps were also highlighted in this Research Topic, and awaited future studies: (1) contribution of microbial reductive dehalogenation to attenuation of organohalides in natural environments; (2) cycling of organohalides in varied environmental matrices and associated functional microorganisms and enzymes; (3) reciprocal interactions of the commonly co-existing abiotic processes with the OHRB-mediated reductive dehalogenation process. We hope that this collection of reviews and original research articles will be helpful for researchers and engineers seeking information on organohalide respiration and bioremediation applications.All authors listed have made a substantial, direct, and intellectual contribution to the work and approved it for publication."}
+{"text": "On the basis of complex clinical anamnestic, clinical psychopatological, pathopsychological research, data were obtained about reasons and conditions of formation, abnormal clinical psychopathological structure, syndrome peculiarities of emotional disfunctions for patients with episodic paroxismal disorders, generalized anxiety disorders and mixed anxiously depressed disorders.To realize the aim and tasks of the research, 145 patients were examined with anxiety disorders, that passed the stationary course of treatment.The purpose of the research was to discover emotional disturbance peculiarities for anxiety disorder patients with different origins of pathological syndromes.The basic method was a group psychotherapy with the elements of rational, positive, suggestive and family psychotherapy. In relation to disfunctions of emotional sphere, cognitive-behavioral therapy (CBT) was used for the phobic-depressive and anxious-depressed disorders.Decrease in general level of anxiety and internal anxiety was obtained for most patients. No spontaneous emergence of fear was practically observed. While active interviewing, patients stated that their former worries and fears have lost actuality and apparent emotional colouring, somatic-vegetative correlates of anxious states disappeared. Up to the end of the therapy course, a sense of calmness was attained as a base-line for the background emotional state. Considerable reduction of symptomatic of the depressed circle also took place. Patients\u2019 mood increased, their interests broadened, patients started to feel joy and optimism.To correct emotional disfunction of patients with episodic paroxismal disorders, generalized anxiety disorders and mixed anxiously depressed disorders, psychotherapeutic correction system is optimal to use, which is built based on stepwise and multimodal principles."}
+{"text": "Among non-communicable diseases, cardiovascular disease (CVD) is the leading cause of mortality worldwide, which is associated with increased morbidity and hospitalization . To dateMa et al. creatively conduct an overview of EV research in CVD via a bibliometric analysis. The authors systematically collect the last 20 years of research on Web of Science Core Collection and perform a bibliometric analysis with visual tools (Citespace and Vosviewer). The results demonstrate that increasing attention was significantly paid to the capacity of EV in CVD from 2017 onwards, indicating the increasing popularity of the subject in this field. Furthermore, the authors conclude most of these studies focused on EV as biomarkers for CVD diagnosis, delivery vehicles, and a potential strategy for treating myocardial infarction.In this issue, Yao et al. prospectively performs atrial fibrillation (AF) modeling in Canines and investigates the function of EV in AF development. The authors reveal that blocking the release of small EV by GW4869 could alleviate AF by reducing atrial fibrosis. Mechanistically, EV-enclosed miR-21-5p targets the downstream TIMP3/TGF-\u03b21 pathway and induced fibrosis. Inhibiting the release of EV may be a potential strategy for AF treatment, which may help accelerate new clinical trials of AF treatment. Chen et al. systematically review the role of EV and EV-enclosed non-coding RNAs (NcRNAs) in the diagnosis and treatment of AF in more detail. Notably, EV-enclosed NcRNAs may also play a crucial role in the progression of AF.The study of Liu et al. and Yang et al. explore the role of adipose-derived EV in lipid metabolism, which is closely associated with vascular homeostasis. Epicardial adipose tissue (EAT)-derived EV-enclosed miR-3064-5p is identified as a key molecule in regulating lipogenic differentiation.The EV-mediated interaction between adipose tissue and blood vessels may play an important role in CVD. In this Research Topic, Hu et al. investigate the crosstalk between macrophages and cardiomyocytes. The authors reveal that ambient particulate matter could promote the release of EV and subsequently activate macrophages. EV-enclosed TGF-\u03b2 derived from macrophages promotes the fibrotic alteration of cardiomyocytes, ultimately leading to cardiac dysfunction. This study sheds light on the underlying mechanism and potential therapeutical strategy for air pollution-associated cardiovascular disorders.Interestingly, EV is proven to be involved in air-pollution-associated cardiac injury. Wei et al. summarize the role of platelet-derived EV in mediating intercellular communication, which contributes to arterial thrombosis. This review provides a new horizon as platelet-derived EV could provide promising biomarkers for the diagnosis of CVD.Notably, increasing evidence shows that platelet-derived EV are a crucial component of circulating nanoparticles in blood, indicating that platelet-derived EV play important roles in multiple pathological processes. In this Research Topic, Overall, this Research Topic provides a relatively comprehensive understanding of the role and potential application of EV in CVD, including a bibliometric analysis, overviews, and some surprising experimental articles. These studies identify a novel cargo and signaling axis in the development of CVD and provide a novel way of using different sources of EV and EV-enclosed cargo in diagnosing CVD. Nevertheless, EV-associated basic, translational, and clinical studies are still on the way. Here we sincerely hope that this Research Topic can provide readers with different viewpoints and new horizons in EV & CVD diagnosis and treatment, inspiring future studies on the therapeutical application of EV. In addition, we also hope the work can help to stimulate novel ideas in associated fields and improve the research progression of CVD.HW, YH, and JX are the topic editors of this issue and they have contributed to the writing and revising of the article. XZ, MZ, and YL contributed to drafting the Editorial. All authors approved it for publication.This work was supported by grants from the National Key Research and Development Project (2018YFE0113500 to JX), the National Natural Science Foundation of China (82020108002 and 81911540486 to JX and 82000253 to HW), the grant from Science and Technology Commission of Shanghai Municipality (20DZ2255400 and 21XD1421300 to JX), the Dawn Program of Shanghai Education Commission (19SG34 to JX), the Sailing Program from Science and Technology Commission of Shanghai (20YF1414000 to HW), Chenguang Program of Shanghai Education Development Foundation, and Shanghai Municipal Education Commission (20CG46 to HW).The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest.All claims expressed in this article are solely those of the authors and do not necessarily represent those of their affiliated organizations, or those of the publisher, the editors and the reviewers. Any product that may be evaluated in this article, or claim that may be made by its manufacturer, is not guaranteed or endorsed by the publisher."}
+{"text": "About 29\u201381% of post-stroke survivors suffer from dysphagia, which is characterized by varying degrees of eating disorders, choking cough, salivation, and abnormal pronunciation. Dysphagia is associated with increased risk of malnutrition and pneumonia and leads to prolonged hospital stay, poor prognosis, and mortality . For PAS, some studies used both liquid and semi-solid measurements and further produced two different PAS results and Dysphagia Grade (DD) in the meta-analysis. The reasons are unclear. DD is mainly assessed using questionnaires, whereas PAS requires the collection of video images for assessment by the Fiber Endoscopic Evaluation of Swallowing (FEES) or the Video Fluoroscopic Swallowing Study (VFSS). The Standardized Swallowing Assessment (SSA), Functional Dysphagia Scale (FDS), and Mann Assessment of Swallowing Ability (MASA) are commonly used as measurements of swallowing function, and some trials using these outcome indicators have been missed. Moreover, a trial instead of standard deviation (SD). We note that Khedr et al. and KhedWe added a randomized controlled trial , p = 0.04]. Heterogeneity also greatly reduced compared with Yang et al. . Subgroup analysis was conducted according to different frequencies. The efficacy of high-frequency stimulation and low-frequency stimulation in the treatment of dysphagia after stroke was greater than conventional rehabilitation, which was completely different from Yang's results. The results showed that rTMS was superior to conventional rehabilitation in the treatment of post-stroke dysphagia regardless of stimulation frequency. We emphasize the importance of carefully examining the data extraction and reviewing the results of the meta-analysis.As shown in In conclusion, we urge readers to be cautious about the quality and validity of the review analyzed by Yang et al. The study omitted several important trials and produced extraction/synthesis errors in the meta-analysis, leading the authors to underestimate the efficacy of rTMS in patients with post-stroke dysphagia.Y-lX, SW, and Y-hX conceived the idea and wrote the manuscript. QW and YW analyzed the data. All authors reviewed the final manuscript.YW was supported by Sichuan Medical Research Project Plan (Q18038). QW was supported by Development Project of Affiliated Hospital of North Sichuan Medical College (2021ZD014). Y-lX was supported by the North Sichuan Medical College of Medical Sciences Postgraduate Research Scholarship.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest.All claims expressed in this article are solely those of the authors and do not necessarily represent those of their affiliated organizations, or those of the publisher, the editors and the reviewers. Any product that may be evaluated in this article, or claim that may be made by its manufacturer, is not guaranteed or endorsed by the publisher."}
+{"text": "The COVID-19 pandemic has highlighted the need for resilient health systems with the capacity to effectively detect and respond to disease outbreaks and ensure continuity of health service delivery. The pandemic has disproportionately affected resource-limited settings with inadequate health capacity, resulting in disruptions in health service delivery and worsened outcomes for key health indicators. As part of the US government\u2019s goal of ensuring health security, the US Centers for Disease Control and Prevention has used its scientific and technical expertise to build health capacity and address health threats globally. We describe how capacity developed through global health programs of the US Centers for Disease Control and Prevention in Cameroon was leveraged to respond to coronavirus disease and maintain health service delivery. The health system strengthening efforts in Cameroon can be applied in similar settings to ensure preparedness for future global public health threats and improve health outcomes. The ongoing COVID-19 pandemic was declared a public health emergency of international concern by the World Health Organization (WHO) on January 30, 2020 began work in Cameroon during 1998 by establishing an HIV laboratory and research program. The presence of CDC in Cameroon evolved to an established country office in 2004, providing technical expertise and support to the Ministry of Health (MOH) to strengthen disease control efforts and develop sustainable public health capacity. In 2007, an agreement was signed between the US and Cameroon governments, establishing a partnership to prevent and control HIV/AIDS, avian influenza, and other infectious diseases. Consistent with the International Health Regulations (2005) that states WHO member states should develop, strengthen, and maintain their capacity to respond promptly and effectively to public health emergencies of international concern was activated for the response. The PHEOC is a state-of-the-art facility constructed and established with support from the US Defense Threat Reduction Agency and CDC and handed over to the government of Cameroon in June 2019 to ensure coordination and management of health emergencies , an established command structure to manage emergency responses . CoordinThe CDC-established Field Epidemiology Training Program supportehttps://anab.ansi.org), meeting international standards for quality management systems and competence for medical laboratories . Rapid tThe COVID-19 pandemic overwhelmed health systems globally and adversely affected health programs because available resources were focused on responding to the pandemic and tuberculosis treatment dispensation, and HIV viral load sample collection in the community. Clinical implementing partners collaborated with community-based organizations and satellite health facilities for HIV testing, linkage, and treatment dispensation. CDC conducted weekly virtual clinical program and data reviews with implementing partners and health facilities and held quarterly virtual sessions to review program performance and share best practices. Establishing virtual trainings and weekly granular site management (HIV service provision and program performance decreased in many President\u2019s Emergency Plan for AIDS Relief\u2012supported sub-Saharan African countries during the COVID-19 pandemic (The COVID-19 pandemic called attention to health system gaps and underscored the need for resilient health systems to effectively respond to health threats while ensuring continued health service delivery. The effect of the pandemic has been serious in central Africa and other resource-limited settings, largely caused by the limited health infrastructure and capacity in the region. Building on the strong partnership with the Cameroon MOH, capacity established through global health programs of CDC was leveraged to support the COVID-19 response in Cameroon while implementing innovative strategies such as differentiated service delivery and granular site management to mitigate the effect of the pandemic on health programs. In addition to the need for strengthened disease preparedness and response capacity, key lessons learned from the response in Cameroon to the pandemic include the need for a well-trained and fit-for-purpose health workforce, timely mobilization of resources, and the need for coordination of multiple stakeholders to effectively manage response efforts.Despite ongoing security and humanitarian crises in Cameroon, efforts of CDC have helped to strengthen the health system and improve health outcomes by ensuring continuity of HIV and tuberculosis services during the COVID-19 pandemic and maintaining programmatic gains. Through support of CDC, Cameroon has accelerated progress to reach the 95\u201395\u201395 targets and is positioned to be the first country in West and Central Africa to achieve HIV epidemic control. As part of the mission of the US Government to improve health globally, CDC continues to provide support to Cameroon to respond to the COVID-19 pandemic and prevent and control other public health threats. The lessons learned from Cameroon might be applicable to other resource-limited settings and conflict-affected areas to respond to COVID-19 and prepare for future pandemics.Members of the Centers for Disease Control and Prevention Cameroon Team: Leonard C. Keleko, Ebako Takem, Christopher Coox, Adebowale Okunrinboye, Fabrice D. Nembot, Edwin Sah, Mohamadou Awalou, Yvan D. Mouzong, Anula C. Acho, Alexandre Forbin, Jeannette E. Bessem, Sidouanne Signing, Marie G. Dima, Peter T. Atonkah, Yaya N. Sale, Eric Kamleu, Richard Olemba, Johnson Teboh, Chrysantus Egbe, and Keanu Renee-Glover."}
+{"text": "Strengthening organization quality-specific immune is the key linkage to improve the quality performance of intelligent manufacturing enterprises. organization quality-specific immune is constructed by selecting four state variables of organization quality cognition, monitor, defense, and memory. Based on the perspective of self-organization, self-organization theory and methods are used to construct the evolution model of organization quality-specific immune. According to four state variables, the evolution of organization quality-specific immune of fourteen typical intelligent manufacturing enterprises is studied, and the conclusion is drawn according to the relaxation coefficient. The empirical results show that self-organization theory and self-organization methods can effectively analyze the evolution of organization quality-specific immune and provide new inspiration for organization quality improvement and quality management of intelligent manufacturing enterprises. The finding results will present the framework for practicing engineering managers of intelligent manufacturing enterprises to enhance organization quality performance and organization quality-specific immune performance and promote organization quality-specific immune evolution. Industry 4.0 advocates the fourth industrial revolution, transforms the manufacturing industry to intelligence, actively develops intelligent manufacturing enterprises, continuously improves the intelligence level of manufacturing enterprises, and promotes intelligent production, intelligent technology, human-computer interaction, intelligent management, intelligent network, and the intelligent resources of intelligent manufacturing enterprises. Quality is the core element of the intelligent manufacturing enterprise , 2. QualScholars home and abroad adopt interdisciplinary research ideas and methods to transplant, integrate, and map immunology to the quality management field; derive analogy and metaphor research results; and generate the connotation, function, classification system, and construction elements of organization immune; organization immune includes organization-specific immune and organization nonspecific immune; organization-specific immune is the core architecture of organization immune \u201355. Lv aQuality is the life of intelligent manufacturing enterprise, on the basis of relevant research results of organization immune \u201355, 62; By drawing lessons from the relevant theoretical concepts of biological immunology, the scholars put forward the definition of organization quality immune, that is, enterprises find out the harmful factors that threaten product quality and organizational health, take the initiative and take immunization measures to deal with and eliminate the factors that threaten the quality, and generate the memory function as for the immunization process at the same time, in order to maintain the whole process healthy, quality performance, and stable development of enterprise , 57\u201363. Through the analysis, it is found that scholars at home and abroad mainly analyze organization quality-specific immune through system structure, system function, and function mechanism according to organization immune. There is a lack of qualitative and quantitative methods to probe into the evolution of organization quality-specific immune. Therefore, this study constructs theoretical framework of organization quality-specific immune evolution model; organization quality-specific immune is composed of four construct elements of organization quality cognition, organization quality monitor, organization quality defense, and organization quality memory by drawing lessons from absorbing a large number of relevant literature and conducts empirical analysis of organization quality-specific immune evolution model according to self-organization methods.Organization quality-specific immune refers to the systematic concept, which is a system. Organization quality-specific immune is divided into four components of organization quality cognition, organization quality monitor, organization quality defense, organization quality memory, which can dominate and determine the evolution of organization quality-specific immune \u201352, 56.Organization quality cognition includes two parts of perception and discovery. The organization subject collects the object and quality-related information actively through organization quality cognition behavior, which is the expression form of organization initiative consciousness . ThroughOrganization quality monitor is an important link, and it is an important tool for senior managers to detect damage to product quality and health in time. The tool can help the enterprise to monitor the quality environment all the time so that the enterprise has been in a stable quality environment . ThroughOrganization quality defense mainly includes three parts of variation, selection, and coordination. The defense process is carried out on the basis of effective monitoring of the organism, which refers to the process that the organization actively eliminates harmful factors of affecting quality in the organism . DefenseOrganization quality memory is the whole process of summarizing and digesting the immune process through memory behavior after a series of immune behavior . The memSelf-organization mainly studies the self-motion process of how the related subsystems of the system integrate into the regular structure , 73. TheThe principle of self-organization refers to the evolution theory within the system, which itself is a form of evolution . Self-orThe organization quality-specific immune is a system, it is necessary to explore the organization quality-specific immune from the perspective of the system. In this study, the relevant theory and methods of self-organization are used to study the evolution process. The scope of the research system and degree of grey correlations between the calculations are determined to find out the order parameters of the system , 74, 75.(1)Determining the Order Parameters of the System. The order parameter is a parameter at the macrolevel, and the order parameter can better express the behavior of the system. Order parameters are mainly used to express the disordered and ordered state of the system. Its core is the change of two phases after the phase transition occurs, and the order parameter is to describe the different physical quantities between two phases. The order parameters determine the direction of system evolution. Ha introduced the concept of order parameters into synergetics knowledge, that is, the variables that discovered and determined the formation and evolution of the system 2 \u2212 4\u2211j=14aijxj(1)(t)]2. According to the extreme value condition of multivariate function, the conclusion is drawn.According to the principle of least square method, There are various multiple relationships among the internal factors of organization quality-specific immune. To study its evolution system, it is necessary to analyze the scope of organization quality-specific immune and get the correlations among the factors so as to find out the order parameters of the system accurately.State variables of organization quality-specific immune evolution refer to organization quality cognition, organization quality monitor, organization quality defense, and organization quality memory.According to the evolution model, we calculate the grey correlation degree and get the correlation degree of each variable according to the numerical value so as to get the state variable of the system. In this study, fourteen representative large-scale intelligent manufacturing enterprises in eastern China are taken as the evaluation objects, and four subsystems are constructed, including organization quality cognition, monitor, defense, and memory. This study makes out dynamic evaluation on the organization quality-specific immune evolution of intelligent manufacturing enterprises in eastern China.X1\u2013X14) in eastern China are selected as samples. The questionnaire is divided into two parts of the basic information of the object and the score of the questionnaire. Among them, the basic information part of the survey object requires the survey object to fill in the personal information, and the scoring part will affect the four state variables and further affect the evolution of the system. This study uses organization quality cognition C1, organization quality monitor C2, organization quality defense C3, and organization quality memory C4 to score. Among them, 1\u20132 indicates weak influence on the evolution of organization quality-specific immune, 3\u20135 indicates average influence, 5\u20136 indicates higher influence, and 7\u20138 indicates strong influence.By the form of on-site distribution questionnaire, fourteen representative benchmark intelligent manufacturing enterprises XXi(t) represent the data of the first index of the t enterprise, and the data sequence after dimensionless processing is Xi(0)(t) as shown in Let variable Xit) is treated with AGO and recorded as Xi(1)(t) represents the synergistic and competitive effect of state variables on i variables.The external synergy among the system elements is recorded as 1)(t) is , 95, 96(bijxj(1)(t); the competition is expressed as aij(Xj(1)(t))2; fi(t) represents the external interference factors. \u2212bii=bi, then the nonlinear equation can be deduced toAmong them, the synergy is expressed as Xi(1)(t)/dt=Xi(1)(t) \u2212 Xi(1)(t \u2212 1)=Xi(0)(t).Assuming that dAccording to the principle of least square method, it can be concluded as follows:According to the extreme value condition of multivariate function, it can be concluded as follows:t=2,3,\u2026, 14, separate into the above formula, yN=BiPi.Substitute Bi to obtain B1, B2, B3, and B4 and replace the cumulative added data into yi to obtain y1, y2, y3, and y4; the results are as follows [Replace the dimensionless data into follows \u201396, 98: is the relaxation coefficient of each index system in the organization quality-specific immune system. According to the coevolution model, the relaxation coefficient of each index system is obtained: C1\u2009=\u20091.7480, C2\u2009=\u20090.5125, C3\u2009=\u20091.1552, and C4\u2009=\u20090.8899. The relationships among the relaxation coefficients of each index system are as follows: C2\u2009<\u2009C4\u2009<\u2009C3\u2009<\u2009C1.The relaxation coefficient represents the influence degree of the state variable on the evolution of organization quality-specific immune, that is, the smaller the relaxation coefficient is, the greater the effect and influence on the evolution of organization quality-specific immune is, and the greater the relaxation coefficient is when the state variable has a slight effect on the evolution of organization quality-specific immune. According to the empirical analysis results, organization quality monitor has the greatest influence on the evolution of organization quality-specific immune, organization quality memory has the greater influence on the evolution of organization quality-specific immune, organization quality defense has a general influence on the evolution of organization quality-specific immune, and organization quality cognition has the least influence on the evolution of organization quality-specific immune.The related theory and methods of self-organization are introduced into the evolution model of organization quality-specific immune of intelligent manufacturing enterprises. With the help of self-organization theory and methods , 74, thiAccording to the relaxation coefficient, it is concluded that different state variables have different influences on the evolution of organization quality-specific immune, that is, organization quality monitor has the greatest effect on the evolution of organization quality-specific immune, organization quality memory has the greater influence on the evolution of organization quality-specific immune, organization quality defense has a general effect on the evolution of organization quality-specific immune, and organization quality cognition has the least effect on the evolution of organization quality-specific immune. It is urgent to enhance organization quality-specific immunity in accordance with local conditions on the weak points of the evolution of organization quality-specific immune . The purTheoretical research framework of this study can be used by practicing engineering managers; engineering managers of intelligent manufacturing enterprises can understand the key role and significance of quality in the process of engineering management and organization management; comprehensively examine quality management problems from the perspective of immune; strengthen the soft and hard elements of quality management practice; activate the function and vitality of hard and soft elements of organization quality defense; develop institutional and social measures; focus on the core practice and basic practice of quality management; realize quality improvement cycle; form the virtuous cycle and context system of mutual promotion, coordination, correction, and feedback among organization quality cognition, organization quality monitor, organization quality defense, and organization quality memory; enhance organization quality trial and error ability; promote organization quality-specific immune evolution ; and improve organization quality competitiveness, quality innovation ability, quality management ability, customer satisfaction, organization operation efficiency, and organization finance performanceIn terms of the theoretical research framework of this study, engineering managers of intelligent manufacturing enterprises can also judge and examine quality management issues from the perspective of system and evolution; put emphasis on the functions of organization quality cognition, organization quality monitor, organization quality defense, and organization quality memory; activate and dredge the function of organization quality-specific immune; prevent hypersensitivity and hyperimmunity; enhance organization quality-specific immune response rate; continuously increase quality performance and core competitiveness; improve organization quality improvement efficiency, market share, productivity, and final product quality qualification rate; and reduce product quality assurance cost, total quality cost, and quality defects compared with competitorsThe empirical analysis results of this study can be applied by practicing engineering managers; engineering managers of intelligent manufacturing enterprises can recognize that organization quality-specific immune is a system; actively promote the orderly evolution of organization quality-specific immune; drive organization quality-specific immune to maintain the good evolution trend and development tendency; prompt the spiral upgrading, function optimization, and function renewal of organization quality-specific immune; introduce negative entropy flow; make organization quality-specific immune get into the virtuous cycle process and track; stimulate the niche change of organization quality system; enhance the maturity, survivability, robustness, disaster tolerance, and buffer capacity of organization quality-specific immune system; and reduce the vulnerability and redundancy of organization quality systemIn terms of the empirical analysis results of this study, engineering managers of intelligent manufacturing enterprises can also identify the key factors, dominant slow variables, and order parameters of organization quality-specific immune evolution; emphasize on the obstacle factors and weak links of organization quality-specific immune development; excavate the bottleneck factors that hinder the evolution of organization quality-specific immune; refine the operation paths of organization quality-specific immune evolution according to the relevant parameters of organization quality cognition, organization quality monitor, organization quality defense, and organization quality memory; actively guide the evolution direction of organization quality system; and complete organization quality strategy and missionThe practical implications for engineering managers of intelligent manufacturing enterprises lie in the following:"}
+{"text": "Dysbiosis of gut microbiota plays a fundamental role in the pathogenesis and development of chronic kidney disease (CKD) and its complications. Natural products from plants and microorganisms can achieve recognizable improvement in renal function and serve as an alternative treatment for chronic kidney disease patients with a long history, yet less is known on its beneficial effects on kidney injury by targeting the intestinal microbiota. In this review, we summarize studies on the effects of natural products from plants and microorganisms, including herbal medicines and their bioactive extracts, polysaccharides from plants and microorganisms, and phytochemicals, on the prevention and treatment of chronic kidney disease through targeting gut microflora. We describe the strategies of these anti-CKD effects in animal experiments including remodulation of gut microbiota structure, reduction of uremic toxins, enhancement of short-chain fatty acid (SCFA) production, regulation of intestinal inflammatory signaling, and improvement in intestinal integrity. Meanwhile, the clinical trials of different natural products in chronic kidney disease clinical practice were also analyzed and discussed. These provide information to enable a better understanding of the renoprotective effects of these effective natural products from plants and microorganisms in the treatment of chronic kidney disease. Finally, we propose the steps to prove the causal role of the intestinal microflora in the treatment of chronic kidney disease by natural products from plants and microorganisms. We also assess the future perspective that natural active products from plants and microorganisms can beneficially delay the onset and progression of kidney disease by targeting the gut flora and highlight the remaining challenges in this area. With the continuous deepening of studies in recent years, it has been proved that gut microbiota is a potential target of natural active products derived from plants and microorganisms for chronic kidney disease treatment. Fully understanding the functions and mechanisms of gut microbiota in these natural active products from plants and microorganisms is conducive to their application as an alternative therapeutic in the treatment of chronic kidney disease. Chronic kidney disease (CKD) has become an increasing public health problem with a wide range of complications and high risk of mortality. The worldwide prevalence of CKD (8%\u201316%) brings a heavy economic burden for middle- and low-income countries in particular . Due to Proteobacteria and Actinobacteria and a decreasing level of beneficial microbes such as Lactobacillaceae has an important influence on obesity and Sophora japonica L. (SL) lowered the F/B ratio in spontaneously hypertensive rats in the normal group. The expansion of Proteobacteria abundance is considered a hallmark for dysbiosis mice. A. membranaceus and S. miltiorrhiza , Astragaccharide , Coptidiccharide , and a rccharide enhanced Nx rats . The abumia mice . Shenqi mia mice .Lactobacillus and Bacteroides enriched in the diabetic mice, which were significantly reduced by QiDiTangShen granules that increased in the 5/6 Nx group was found to be associated with kidney injury , claudin-1, and occludin, play an indispensable role in maintaining the permeability of the intestinal epithelial barrier. Once the expression of tight junction proteins in intestinal mucosa decreases, the paracellular permeability would increase and the tight junctions would be destroyed, resulting in intestinal barrier damage . Decreasmy model . Higher my model . Fermentmy model . Astragaccharide , rhubarbccharide , the comacterium and alisacterium treatmen mycelia , Bupleurupleurum , and Mouupleurum improvedupleurum and curcupleurum and the upleurum protectetoxicity . Thus, iIntake of choline, tyrosine, and tryptophan increases the amounts of trimethylamine (TMA), IS, hydrogen sulfide, and indole produced by intestinal bacteria. After absorption, these compounds are further metabolized in the liver to generate the typical uremic toxin trimethylamine N-oxide (TMAO), PCS, and p-indoxyl sulfate. These toxins, which cannot be removed efficiently even by hemodialysis and would accumulate in advanced CKD patients , are higBacillus, thereby reducing the accumulation of IS and PCS in CKD mice (via colonic irrigation (ECI) remodeled gut microflora and decreased the levels of urea and IS in CKD rats (Abelmoschus moschatus) inhibited the tryptophan transport in the main indole-synthesizing bacteria Enterobacteriaceae, resulting in the decease of uremic toxin IS production in CKD rats could disturb microbiota-mediated indole production by inhibiting the transport of exogenous tryptophan into indole-synthesizing bacteria and further reducing indole biosynthesis (Supplementation with amylose resistant starch HAM-RS2 could re longum) complete longum) . The com longum) . Oligofr longum) . FurtherCKD rats . HuangkuCKD rats . As a naynthesis . To sum Enterobacteriaceae, Vibrionaceae, and Pseudomonadaceae, was found to increase significantly in the CKD patients are generated from the fermentation of various types of cellulose by SCFA-producing gut microbiota such as nditions of systemic inflammation in hemodialysis (HD) patients could increase fiber intake, reduce IL-6 and IS plasma levels was effective in reducing IS in patients affected by advanced CKD in a randomized, double-blind, placebo-controlled, crossover trial , and resistant starch, are utilized as prebiotics that are selectively digested by host microorganisms, which could stimulate the growth of one or a limited number of beneficial bacteria and reduce the uremic toxin released in the colon. However, common side effects including mild diarrhea and gassiness were often accompanied with administration of these fibers , proteomics, metabolomics, and cultureomics. These strategies have pushed the development of novel disease-related probiotics, prebiotics, and functional proteins for the treatment of CKD by targeting the dysbiosis of the gut microbiota in recent years animals, and antibiotic treatments. Additionally, to understand how natural products from plants and microorganisms affect the gut microbiota in CKD patients and to develop new alternative therapies for CKD treatment, the strain- and molecular-level connections between the gut microbiome, natural products from plants and microorganisms, and host CKD phenotype should be established in future research based on the hypotheses developed from these correlative studies . The sysnt years . The synvia targeting gut microbiota. These natural products from plants and microorganisms have an impact on the biogenesis and progression of CKD and its relative metabolic complications through alteration of the diversity and composition of the gut microbiota. More research should be carried out to prove the causal role of intestinal microflora in the treatment of CKD by natural products from plants and microorganisms based on these associative studies.In summary, the literature analyzed in this review suggests a great advantage in the adoption of natural products from plants and microorganisms to treat CKD"}
+{"text": "Ferroptosis, a new type of cell death, is mainly characterized by intracellular iron accumulation and lipid peroxidation. The complex regulatory network of iron metabolism, lipid metabolism, amino acid metabolism, p53-related signaling, and Nrf2-related signaling factors is involved in the entire process of ferroptosis. It has been reported that ferroptosis is involved in the pathogenesis of neurological diseases, cancer, and ischemia\u2013reperfusion injury. Recent studies found that ferroptosis is closely related to the pathogenesis of COPD, which, to some extent, indicates that ferroptosis is a potential therapeutic target for COPD. This article mainly discusses the related mechanisms of ferroptosis, including metabolic regulation and signaling pathway regulation, with special attention to its role in the pathogenesis of COPD, aiming to provide safe and effective therapeutic targets for chronic airway inflammatory diseases. In 2012, Dixon . The morThe mechanism of ferroptosis is shown in Iron is an element necessary for lipid peroxide accumulation and ferroptosis. Excessive iron load promotes the production of ROS through the Fenton reaction and iron-binding proteins, thereby promoting the occurrence of ferroptosis , 9, 10. Lipid metabolism is critical for regulating cellular susceptibility to ferroptosis. Because plasma membrane damage caused by iron-dependent excess accumulation is an important feature during ferroptosis , reducinFerroptosis caused by abnormal amino acid metabolism is mainly related to the abnormal metabolism of GSH. GSH is a key substance in amino acid metabolism in ferroptosis and is mainly synthesized from cysteine, glutamate, and glycine . ExtraceCystine/glutamate anti-transport system Xc- (System Xc-) on the cell membrane transports extracellular cystine and intracellular glutamate in a 1:1 ratio. Cells mainly acquire cystine from the extracellular space through System Xc-, where cystine is reduced to cysteine to participate in the synthesis of GSH, and erastin acts on System Xc- to inhibit the uptake of cystine by the cell membrane, thereby reducing the synthesis of GSH and further contributing to the accumulation of ROS . BecauseThe process of ferroptosis is affected by different signaling pathways. As a tumor suppressor gene for cell cycle inhibition, apoptosis, and senescence, p53 is also one of the main signaling pathways of ferroptosis in cells , 27. RelNuclear factor erythroid 2-related factor 2 (Nrf2) is a key regulator of cellular antioxidant activity, and its targets play important roles in iron and lipid metabolism , 36. StuThe pathogenesis of COPD is based on the response of the body to inhalation of harmful particles and gases, and it is complex and has not been fully elucidated. Smoking is the main cause of COPD, and the pathogenesis of COPD is mostly related to inflammatory mediators, inherent immunity, oxidative stress, and protease/antiprotease imbalance , 44. AmoCigarette smoke (CS) and harmful particles induce the body to produce highly reactive molecules such as ROS and reactive nitrogen species (RNS), thus inducing oxidative stress. The accumulation of neutrophils and macrophages in airways and pulmonary blood vessels causes the release of a large number of inflammatory mediators, which induces an inflammatory response and leads to lung tissue damage and protease/antiprotease imbalance, ultimately accelerating the progression of COPD . OxidatiOxidative stress is an important pathogenic factor in COPD, and the presence of a large amount of ROS in the inflammatory response inactivates antiproteases and leads to lung tissue damage. Excessive secretion and accumulation of neutrophils lead to the production of a large amount of reactive oxygen species (ROS). The accumulation of ROS reduces the activity of histone deacetylases (HDACs) and increases the activity of histone acetyltransferases, leading to further accumulation of neutrophils, which exacerbates oxidative stress .Iron homeostasis may be disrupted in inflammatory diseases, resulting in the production of excess reactive oxygen species with deleterious effects on cells and tissues. Epithelial cells and macrophages in lung tissues produce iron metabolism-related proteins, which regulate iron homeostasis and prevent the occurrence of oxidative stress . DisruptLipid peroxidation is the loss of hydrogen atoms of intracellular lipids under the action of peroxidase or free radicals, resulting in oxidation, fragmentation, and shortening of carbon chains as well as lipid-free radicals, malondialdehyde (MDA), and 4-hydroxy-2-nonenal (4-HNE) peroxidation products, which eventually oxidatively degrade lipids and damage the lipid bilayer structure of cell membranes. CurrentlSmoking increases the content of lipid peroxidation in the body, and lipid peroxidation is closely related to the pathological progression of COPD . A surveThe role of ferroptosis in COPD is shown in In vivo studies showed that CS causes lung injury in COPD rats, increases inflammatory cell infiltration, increases inflammatory cytokine secretion, and induces ferroptosis in lung tissue cells of COPD rats. In vitro and in vivo studies showed that CSE/CS increases the MDA content, increases the iron content, downregulates GPX4, decreases ferritin heavy chain levels, and upregulates transferrin receptor levels and also reported that curcumin reverses CS-induced lung inflammatory damage and epithelial cell ferroptosis . These findings suggest new options for the treatment of patients with COPD.Morphological aspects of ferroptosis mainly manifest as mitochondrial shrinkage, reduction or disappearance of mitochondrial cristae, and increased mitochondrial membrane density. Liu et al. found that dihydroquercetin (DHQ) inhibits CS-induced ferroptosis in the pathogenesis of COPD by activating the Nrf2-mediated pathway and attenuating CSE-induced mitochondrial morphological changes . In vitrNrf2 is a key factor in maintaining the oxidative/antioxidative balance, which can prevent the occurrence of COPD by resisting oxidative stress and lung inflammation. Recent studies reported that CpG hypermethylation in the promoter causes downregulation of Nrf2 expression in the lung tissue of patients with COPD . Zhang ein vitro and in vivo studies, Liu et al. found increased levels of M2 macrophages, MMP9 expression, and MMP12 expression in patients with COPD, CS-exposed mice, and THP-M cells cocultured with CSE-treated human bronchial epithelial (HBE) cells, suggesting that NCOA4 and ferroptosis are involved in the pathogenesis of COPD , deferiprone, and deferasirox. DFO is one of the drugs that have been approved by the FDA for the treatment of iron overdose . In addiresponse . Howeverresponse . Anotherresponse . Throughresponse . TherefoOxidative stress is an important cause of airway inflammation, lung parenchyma destruction, and lung function decline in COPD, mainly induced by inhalation of air pollutants such as CS/CSE and dust. The acute exacerbation of COPD is closely related to oxidative stress and oxidant/antioxidant imbalance in the blood . Studiesin vitro and in vivo studies showed that ferroptosis is closely related to a variety of disease processes, and appropriate intervention in ferroptosis can treat the disease and delay the progression of related diseases. Although some progress has been made in the role of ferroptosis in lung cancer, ALI, and pulmonary fibrosis, the role of ferroptosis in COPD is not fully understood, and further clinical and experimental studies are needed. Although the existing ferroptosis inducers are effective, the therapeutic modalities for ferroptosis are still insufficient and only include iron inhibitors, iron chelators, and antioxidants. Identifying effective diagnostic markers of COPD may aid in the treatment of ferroptosis in COPD. For example, the known important regulator of iron metabolism, hepcidin, and its receptor, Fpn1, have been demonstrated to be effective diagnostic markers for COPD, and they may be promising targets for future drug development. In conclusion, with increasing studies on ferroptosis, new related regulators and their functions are constantly being explored. Considering ferroptosis as an entry point to develop COPD treatment regimens and targeted drugs has important clinical value.Ferroptosis, a new type of cell death, is involved in the pathogenesis of various diseases. Ferroptosis is a process involving abnormal metabolism of iron, amino acids, and lipids, which are involved in cell proliferation and differentiation. The metabolic process of ferroptosis is complex, and its mechanism has been preliminarily studied. Both The original contributions presented in the study are included in the article/supplementary material, further inquiries can be directed to the corresponding authors.DM and CZ wrote the manuscript. RJ and ZL provided language assistance. WW proofread the manuscript. SS was involved in the design and review of this study. All authors contributed to the article and approved the submitted version."}
+{"text": "Multidrug-resistant organisms (MDRO) are bacteria that exhibit acquired resistance to multiple antibiotics, reducing the efficacy of antimicrobial therapies. The spread of MDRO is currently one of the most important threats for public health, and it is associated with a remarkable burden in terms of increased morbidity, mortality, healthcare costs, and antibiotic use ,2,3.The extensive and, in most cases, inappropriate uses of antimicrobials, at both human and veterinary levels, contribute to the selective pressure at the basis of MDRO diffusion. Different factors contribute to the spread of resistant bacteria to humans and animals, including poorly prepared food, proximity, and inadequate hygiene. Resistant bacteria can be spread in the environment and food through contaminated wastewater or through wildlife. The best strategy to contrast the spread of MDRO is the implementation of a One Health approach, which involves the collaboration of multiple sectors to improve public health outcomes as defined by the World Health Organization .This Special Issue includes a collection of ten research articles, communications, and reviews focused on the epidemiology and pathogenicity of MDRO. Enterococcus spp isolates were investigated. Their results established the presence of nosocomial-associated clonal complex 17 and a variety of mobile genetic elements among the enterococci from backyard chickens, suggesting the possibility of their dissemination in backyard farms and related environments [Alzahrani and coworkers investigated the role of backyard healthy chickens as a potential reservoir for MDR and virulent enterococci. In this study, antimicrobial resistance and virulence determinants, biofilm formation, plasmid content, and the clonality of ronments .Escherichia coli (ExPEC) lineages. Meanwhile, rabbits were a source of resistant and virulent E. coli pathogens with acquired colistin resistance determinant mcr-1 [Animals, community, hospital, and industrial settings (including food-production) have been investigated as possible sources of Antimicrobial Resistance (AMR) by Massella and coworkers. Their article reaffirmed the role of food-producing animals as a reservoir of potential zoonotic pathogens, with variable antimicrobial and virulence traits among the sources investigated. In particular, rabbits and poultry represented the most concerning sources, carrying the highest number of antimicrobial resistance genes (ARGs) and virulence-associated genes. Poultry was associated with potential extraintestinal pathogenic nt mcr-1 .Enterobacterales (ESBL-E), carbapenemase-producing Enterobacteriaceae (CPE), and methicillin-resistant staphylococci (MRS) in a companion animal clinic in Switzerland. The study documented the plasmidic dissemination of blaOXA-48 in a companion animal clinic with low infection prevention and control (IPC) standards. This poses a worrisome threat to public health and highlights the need to foster standards in veterinary clinics to prevent the spread of MDRO into the community [The role of animals in the spread of MDRO has also been described by Schmitt and coauthors, who reported extensive environmental contamination with extended spectrum \u03b2-lactamase-producing ommunity .To reduce the circulation of MDRO, the programs of surveillance should be combined with the implementation of efficient disinfection protocols that employ various biocides. Geraldes and coworkers in the paper titled \u201cEvaluation of a Biocide Used in the Biological Isolation and Containment Unit of a Veterinary Teaching Hospital\u201d tested a recently developed biocide (Virkon\u2122S), presenting a complex formulation with mainly oxidative activity. Their results suggested that this novel biocide presented efficient antimicrobial activities against representatives of different bacterial species isolated from the Biological Isolation and Containment Unit (BICU). However, organic matter could interfere with its antimicrobial activity, and a slight change of antimicrobial susceptibility was observed in four enterococci, which is probably related to a general stress-induced response promoted by the sub-lethal levels of Virkon\u2122 S .Klebsiella pneumoniae clinical isolates in order to help the control and management of associated infections and to limit their spread in the hospital environment. In addition, the characterization of the emerging high-risk clones can support the implementation of protective actions and infection control procedures [The ability to produce biofilm and its correlation with antibiotic resistance was also reported by Fasciana and coauthors in their communication. The authors underlined the need to characterize the genetic diversity and biofilm formation properties of ocedures .K. pneumoniae and Acinetobacter baumannii in the intensive care unit (ICU) and of E. coli in non-intensive care units (non-ICUs). The authors stressed the importance of the implementation of large community-level programs to prevent bacteremia caused by MDRO. The authors observed that local surveillance and the implementation of educational programs remain essential measures for slowing down the spread of resistance and, consequently, for increasing antibiotic lifespan [A retrospective investigation from Southern Italy on the prevalence of Gram-negative bacteria (GNB) and their resistance in hospitalized patients by age, sex, and units from blood cultures (BCs) was conducted by Di Carlo and coworkers. The authors reported a higher prevalence of lifespan .Gentile and coworkers reported the importance of surveillance programs for nosocomial drug resistance. They suggested that whole-genome sequencing (WGS) proved to be a useful tool for elucidating the spreading dynamics of MDRO and can help in limiting their diffusion. According to the authors, the analysis of resistome and virulome by WGS, if available in real-time, could help to survey the alert nosocomial pathogens by directing the infection control team to focus its attention and resources in departments where surveillance is more necessary .To reduce the diffusion of MDRO, the use of an appropriate antibiotic therapy is of paramount importance. Fiore and coworkers in a systematic review and meta-analysis titled \u201cCeftolozane-Tazobactam Combination Therapy Compared to Ceftolozane-Tazobactam Monotherapy for the Treatment of Severe Infections: A Systematic Review and Meta-Analysis\u201d reported that combination therapy with ceftolozane-tazobactam (C/T), compared to C/T monotherapy, may reduce all-cause mortality in infections due to Gram-negative bacteria but did not increase the rate of clinical improvement .Helicobacter pylori. It is very important to have a good understanding of regional antibiotic resistance patterns of H. pylori for the implementation of effective empirical eradication therapies and adequate rescue therapies. The study conducted by Park and coworkers investigated the antibiotic resistance patterns of H. pylori and their impact on eradication in Seoul in recent years [H. pylori eradication in Korea.The rate of multidrug resistance is also increasing in nt years . Their rH. pylori and the consequent limited therapeutic options available against this pathogen represent an important topic in gastroenterology. The aim of the review presented by Krzy\u017cek and coworkers was to list compounds showing the ability to enhance the antimicrobial activity of classically used antibiotics against H. pylori. The antimicrobial properties, such as minimal inhibitory concentrations and minimal bactericidal concentrations, dose- and time-dependent mode of action, and, if characterized, anti-biofilm and/or in vivo activity of these compounds are also reviewed [The increasing spread of antibiotic-resistant reviewed . In conclusion, this Special Issue collected articles and reviews that underlined the need for robust surveillance systems that are essential for combating antibiotic resistance at both hospital and environmental levels, emphasizing the necessity of an \u201cOne Health\u201d approach. The importance of both phenotypic and genotypic approaches for the characterization of MDRO, and the necessity of novel effective antimicrobials and biocides active against MDRO was also emphasized."}
+{"text": "Primary care stresses the importance of the relationship between physicians and patients . AccordiMoh et al.). Many infectious diseases such as malaria, tuberculosis, and human immunodeficiency virus (HIV) are major issues for the health system in C\u00f4te d'Ivoire, mainly because health resources remain inaccessible and inefficient, especially in rural areas . To solve this problem, Moh et al. conducted a study in three locations to improve the integration of HIV, malaria, and tuberculosis prevention. This project was planned for a duration of 3 years, including 2 years of field activities with six main activities . Through this project, Moh et al. proposed some strategies to improve the integration of HIV, malaria, and tuberculosis prevention, including selecting and strengthening the capacity of community health workers to provide care for these three diseases, providing monthly animation of village health committees by target groups, and using application and tablets for data collection.The studies collected on this topic cover a wide range of research on family medicine and primary care, including systematic review and meta-analysis of the prevalence and risk factors of disease, research exploring factors associated with disease, strategies aimed at improving the healthcare system, effects of different guidelines on mortality risk of disease, development of measurement technology, evaluation the price, availability, and affordability of essential medicines, as well as distribution of health problems. We expect that the research on this topic or the evidence they provide will act an informative role in family medicine and primary care. Community Health Workers (CHWs) are a key component in promoting population health and improving health systems, especially in many low- and middle-income countries with 17,708 subjects aged 45 years and older in 2011\u20132012, to examine the change in the prevalence and mortality, if the 2017 American College of Cardiology (ACC)/American Heart Association (AHA) hypertension guideline were adopted for Chinese adults. The study found that if the 2017 ACC/AHA guideline was adapted for Chinese adults aged 45 years or older, the hypertension prevalence would increase, which was mostly attributable to the change in the definition of systolic diastolic hypertension . However, the difference was minuscule in the proportion of people recommended for antihypertensive treatment among people with isolated diastolic hypertension or isolated systolic hypertension. Also, the study has found that the adoption of the 2017 ACC/AHA might be applicable to improve the unacceptable hypertension control rate for Chinese adults aged 45 years or older .This topic also collected a study regarding the policy for patients with hypertension in China, which highlighted how different guidelines would have an impact on the effects of primary care and patients' health outcomes. Specifically, the China Hypertension League (CHL) guideline is different from the guidelines in the United States , 7. TherLiu Z. et al. conducted a systematic review to explore the status quo of BP measurement technology and development trends of BP measurement. In general, the technology of auscultatory, applanation tonometry, and volume clam methods are mature, and new control methods of volume clamp are developing . However, the study found limitations and challenges in existing finger-end BPM technologies as well , indicating that further research on new technologies is still needed to facilitate the development of daily multi-scenario and multi-frequency BPM technologies and provide a basis for realizing long-term personal BP management strategies.Another study covered in this Research Topic also focused on primary care for blood pressure in the Chinese population. Previous research suggests that routine blood pressure (BP) monitoring may help predict mortality , 9. TherWang et al. based on the adjusted World Health Organization and Health Action International methodology. This study found that the Medication Possession Ratio (MPR) for lowest-priced generics (LPGs) was generally decreasing between 2016 and 2020 . In addition, the median availability of generic medicines increased in 2018 . These results indicated that the National Essential Medicines Policy (NEMP) has proceeded relatively well in the primary healthcare institutions (PHIs) in Jiangsu . In addition, this Research Topic also contains other related studies, including a systematic review on dyspnea measurement in acute heart failure , research exploring factors associated with childhood asthma and wheezing in Chinese preschool-aged children , a systematic review and meta-analysis of the prevalence and risk factors of depression in type 2 diabetes patients in China , and a cross-sectional study exploring the distribution of health problems at the general outpatients' clinic of the University of Hong Kong-Shenzhen Hospital . It has long been documented that characteristics such as gender, race, and socioeconomic status are associated with the use of healthcare services in routine care, which might further bring health disparities in health outcomes (As more and more new medicines become available, healthcare systems face considerable challenges in regulating drug prices, affordability, and affordability for primary care . To evaloutcomes \u201313. As toutcomes , 15. Furoutcomes . At lastXX, GL, XJ, HM, and KL conceived the idea for the editorial and wrote the initial draft. All authors approved the final version of the editorial."}
+{"text": "Thyroid dysfunction such as hypothyroidism, is connected with numerous neurological and psychiatric disorders. However, the importance of assessing the interaction between brain, psyche and thyroid in clinical practice is often underestimated, and this has a direct impact on the planning of therapeutic interventions and treatment efficacy in patients with primary hypothyroidism.We examined 132 patients with primary hypothyroidism.Assessment of the presence and severity of psychopathology was performed using the technique SCL-90-R (questionnaire severity of psychopathology).The results showed the highest scores on the scales of somatization , depression , interpersonal anxiety , phobias . High rates of somatization scale showing a violation of bodily dysfunction of various body systems-cardiovascular, gastrointestinal, respiratory and headache, muscular discomfort and other unpleasant sensations in different parts of the body and manifest themselves in a complaint of patients. Scale depression revealed the presence of dysphoria, anhedonia, low affect, loss of vitality and interest in life. Relatively high on a scale of phobias indicate the presence in these patients persistent fear responses to certain situations and objects that are irrational and inadequate and lead to avoiding behavior. General index of severity of symptoms (GSI) and the index of an existing symptomatic distress (PSDI) were significantly higher in the following patients than in hypothyroid patients without mental disorders.Thus, these results should be taken into account when determining treatment strategy both in psychopharmacotherapy and different methods of psychological correction.No significant relationships."}
+{"text": "Due to the many factors involved, the treatment of cancer by Chinese medicine is very complicated: it is not only a variety of components of Chinese herbal medicines but also a complicated cancer network among tumor cells, tumor microenvironment, human interior milieu, and the environment. In addition, the interaction between the gut microbiota and the host also has a potential impact on cancer progression. The complexity of Chinese herbal medicines and the pathogenesis of cancer makes it difficult to understand the pharmacological effects of anticancer Chinese herbal medicines, especially when the treatment is in the form of a mixture of multiple compounds, such as Chinese herbal formulas.To address such a high level of complexity, advanced approaches are needed. Thanks to the advent of systems biology and advanced OMICs techniques, including genomics, transcriptomics, proteomics, metabolomics, and bioinformatics, novel systems-based approaches have been developed and widely used in the research of Chinese medicine, leading to the rapid progress of this research field and more comprehensive understanding of the pharmacological mechanisms of Chinese herbal medicines in cancer treatment.Albuca Bracteata (Thunb.) J.C.Manning & Goldblatt in a colon cancer model. They found that the change of intestinal microbiota and therefore production of beneficial short-chain fatty acids might contribute to the anti-tumor effect of Albuca Bracteate Polysaccharides when used alone and in combination with the chemotherapeutic agent 5-fluorouracil Yuan et al. Another study by Shi and others performed 16S rRNA gene sequencing and metabolomics to study the mechanism of action of Siwu-Yin, a formula used in traditional Chinese medicine for the treatment of esophageal precancerous lesions and esophageal cancer. They found this formula traditionally used to replenish blood and nourish Yin improved the composition of intestinal flora by regulating the synthesis and secretion of bile acids. This action of Siwu-Yin contributed to the modification of the tumor microenvironment and inhibited the occurrence of esophageal precancerous lesions . These studies have provided us insights into the application of combined OMICs technologies in the pharmacological studies of botanical drugs.In this special collection, we aimed to highlight the application of OMICs and other advanced approaches in understanding the mechanisms of action of medicinal botanical drugs as a mixture of multiple components in the treatment of human diseases, especially gastrointestinal cancer. We have received 16 submissions by authors from mainland China, Macau S. A. R., and Hong Kong S. A. R, including both original articles and reviews, and seven of them are accepted for publication. Among these published studies, Yuan and others innovatively combined multiple OMICs platforms to analyze the modulation of gut flora metabolites by the polysaccharides extracted from a Chinese botanical drug Dai et al.). Li and others focused on the application of OMICs technologies as useful tools for deciphering the role of botanical drugs as an adjuvant therapy, both to improve therapeutic outcomes and to reduce the side effects of conventional therapies, in the treatment of gastrointestinal cancers. They highlighted that OMICs approaches can efficiently reveal potential key molecular targets and intracellular interaction networks of herbal medicines in gastrointestinal cancer, therefore guiding future research Li et al. Guo and others particularly reviewed the application of metabolomics in investigating herbal therapies against gastrointestinal cancers by targeting metabolism. They systematically summarized the actions of herbal compounds, extracts, and formulas on the metabolism of carbohydrates, lipids, amino acids, and nucleotides, as well as on other metabolic pathways, and highlighted the usefulness of metabolomics in guiding the further development of botanical drugs as novel and efficient adjuvant therapeutics against gastrointestinal cancer . In addition, Coptidis Rhizoma and Chinese Medicine-based carbon dots were introduced by He et al., and Li et al., respectively, as examples for a better understanding of the application of OMICs in pharmacological studies of herbal products. He et al. reviewed the broad pharmacological effects of Coptidis Rhizoma (C. Rhizoma) against cancers, highlighted recent studies on the botanical drugs, including the application of OMICS, novel drug delivery systems, combination therapy and clinical research, and provided new scientific and clinical evidence for future clinical use of the botanical drugs in treating gastrointestinal cancers . Li et al., reviewed the progress in Chinese herbal medicines-derived carbon dots for the treatment of hemorrhagic diseases and also discussed the application of nanomaterials, OMICS and other advanced technologies in the research and development of charcoal drugs against other refractory diseases, e.g., cancers Li et al.This special issue has also collected expert opinions and reviews on the application of OMICs technologies in the pharmacological studies of botanical drugs. Dai and others reviewed the state of art and provided their future perspectives on OMICs applications in studies on herbal treatment of gastrointestinal cancers. They highlighted how single and multiple OMICs approaches may facilitate unravelling signalling interaction networks and key molecular targets of botanical drugs with anti-gastrointestinal cancer potential. Their review suggested that, towards precision medicine, extensive application of high-throughput sequencing technologies to unravel tumor heterogeneity is urgently needed for stratified diagnosis of gastrointestinal cancers and better-targted herbal treatment (In conclusion, the applications of single and combined OMICs technologies, systems biology, and other advanced methodologies have been very useful in studying botanical drugs. We wish readers will enjoy reading articles in this special collection, which represent the state of the art of OMICs-based pharmacological studies of botanical drugs. As shown in"}
+{"text": "The African region faced a large-scale public health crisis, with the outbreak of coronavirus disease 2019 (COVID-19). As of February 16, 2022, the region recorded 7,944,049 confirmed cases with case fatality of 2.1 percent [The WHO African region adopted and implemented the new WHO ACT-Accelerator strategy in its response to the pandemic . New ACTThe countries mounted and implemented several actions in response to the outbreak. Some actions entailed the use of innovative strategies in addressing transmissibility and spread of the virus, reaching the populations with vaccines, diagnostics, and therapeutics. Others were on surveillance and testing, infection prevention and control, public health and social measures as well as contact tracing, among others. The Incident Management Support Team (IMST) of the WHO AFRO further enabled the countries with evidence-driven innovations and guidelines in responding to the COVID-19 pandemic.Several experiences were gathered that could be useful for future public health interventions. This special issue of the Pan African Medical Journal documents the of the key lessons and experiences gathered from response to the COVID-19 pandemic in countries as well as the WHO AFRO IMST. The papers, written by those who were actively engaged in response to epidemics in countries, cover critical topics from preparedness and response to disease outbreaks, strengthening surveillance systems and integration as well as strengthening health workforce against pandemics. The comprehensive analysis of the success stories made in pandemic response will no doubt enhance response to future public health events within and outside the region. These articles therefore constitute a case of turning tragedy to gains!"}
+{"text": "The inspiring digital event brought together international speakers and presented a multidisciplinary approach to one of the less-addressed topics in neurology. The event it was coordinated by Antonio Federico , Professor of Neurology at the Department of Medicine, Surgery and Neurosciences from the Medical School at the University of Siena , and Dafin Muresanu (Romania), EFNR President, and was divided into 4 sessions over the course of the day.The Antonio Federico and Dafin Muresanu (Romania), with the two highlighting the increased interest of stakeholders in this subject from neurology.The Teaching Course on Rare Neurological Diseases began with a welcome address by Kailash Bhatia (UK) and Antonio Federico . A presentation entitled \"Rare Neurologic Diseases, a Pandora Box for Neurology and Neurosciences\" was introduced by the latter, Antonio Federico , Professor of Neurology at the Department of Medicine, Surgery, and Neurosciences from the Medical School at the University of Siena . About 300 million people are affected by a rare disease \u2013 3.5\u20135.9% of the population \u2013 with a majority having genetic pathogenesis and more than half of the cases involving the central or peripheral nervous system and muscles. Prof. Federico firstly discussed what makes a disease rare, namely the standards for classification. Moreover, he went over why rare diseases and orphan therapies lead to many unacceptable inequities in the health systems, from trouble finding experts on the disease, limited availability of therapies, and the issue of pharmacological companies having little interest in developing drugs. Prof. Federico stated the crucial role of neurologists in diagnosing and treating rare diseases in general, as many affections present with neurological manifestations. Furthermore, he discussed the universal challenges faced by those living with a rare disease, mentioning the broad diversity of disorders and relatively common symptoms that can hide the correct diagnosis. He talked about the commonality of misdiagnosis and the variability of symptoms from one patient to another in the context of the same rare disorder. Prof. Federico also tackled in his presentation the importance of research and international collaboration of researchers and clinicians, as well as the involvement of multiple stakeholders, mentioning recent developments in Europe concerning networks aiming to improve the diagnosis and treatment of rare diseases. He further approached the European Reference Networks, especially those for rare diseases, underlining the European Brain Council Research Project \u2013 The \"Value of Treatment (VOT) for brain disorders\". Moreover, Prof. Federico highlighted the World Health Organization's (WHO) highly active endeavour on revising the ICD-10 Diseases of the Nervous System Chapter from a rare disease perspective. Lastly, he mentioned the problem of expensive orphan drugs leading to equity issues in rare diseases. He ended his presentation by stating the necessity for comprehensive global action to improve the quality of diagnosis and care.The first session was presided over by Kailash Bhatia (UK), Professor of Clinical Neurology at the Sobell Department of Movement Neuroscience \u2013 Institute of Neurology, UCL, in Queen Square, London (UK), discussed the \"Rare presentation of Parkinson's diseases and dystonia\". Prof. Bhatia covered several case studies on various disorders with variable presentations, from language and calculation difficulties to gait imbalance and cerebellar features of parkinsonism. He showcased imaging clues for different types of parkinsonism, the difficulties in diagnosis, and pointed to different affections, signs, and triggers to be avoided. Rare diseases causing movement disorders are a significant subset of conditions as they represent a substantial proportion of movement disorders. The importance of recognition and awareness of the treatable forms and the treatment implications were also discussed. Finally, Prof. Bhatia highlighted that many rare neurological disorders provide vital insight into the pathophysiology of more common movement disorders.Max Hilz (Germany), from the Department of Neurology, Icahn School of Medicine at Mount Sinai in New York (USA), discussed, during his presentation \"Evaluating autonomic dysfunction in Rare Neurologic Diseases \u2013 a diagnostic tool and predictor of increased risk\", about hereditary sensory & autonomic neuropathies (HSAN Types I-VIII), the steps in the assessment and consideration for the diseases' epidemiology and their timelines, along with prominent clinical features. Moreover, he presented HSANs types 1, 2, 3, 4, and 5, with insight into the sural nerve pathology, in addition to diagnostic steps to determine the type of HSAN, including history, clinical examination, motor & sensory nerve conduction studies, quantitative sensory testing, assessment of the sudomotor function, of sympathetic or parasympathetic deficits, and many more.Michelangelo Mancuso , began by introducing Michelangelo Mancuso , the Head of the Centre of Neurogenetics and Expertise for Mitochondrial Diseases and Rare Diseases \u2013 Department of Clinical and Experimental Medicine at the Neurological Institute, University of Pisa , with his presentation \"Stroke and Rare Neurologic Diseases. An EAN Consensus\". Prof. Mancuso discussed the importance of awareness and minimizing diagnostic delays. Moreover, he offered insight into cerebral small vessel diseases , along with some related issues. Prof. Mancuso followed the Delphi methodology to provide recommendations and proposed \"red flag\" features suggestive of the diagnosis of monogenic disease and discussed specific recommendations for the particular forms of monogenic cSVD. He further approached some rare diseases, including Fabry disease, CADASIL, and MELAS, and highlighted the EAN management and recommendations, pointing out that the EAN consensus provides a valuable framework to guide diagnosis and management.The second session, presided by Marianne de Visser (the Netherlands) and Marianne de Visser (the Netherlands), Senior Neurologist at the Amsterdam University Medical Center in Amsterdam (the Netherlands), presented \"HyperCKemia: from common to rare\". Dr. de Visser discussed asymptomatic and paucisymptomatic hyperCKemia, the most common causes, the steps leading to a differential diagnosis, and the most appropriate diagnostic tools. In addition, she offered a glimpse into variations of the disease in different populations and presented insightful case studies from her practice. One crucial point was the role of complex diagnostic assessment, including detailed family history and ancillary investigations , offering a lively and engaging presentation with interactive exercises for the public.Antonio Federico , Professor of Neurology at the Department of Medicine, Surgery and Neurosciences \u2013 Medical School from the University of Siena in Siena , then discussed \"Rare Neurologic Diseases mimicking a multiple sclerosis like phenotype\" through the presentation of a comprehensive set of disorders , mentioning the McDonald Diagnostic Criteria. For multiple sclerosis (MS), several genetic conditions need to be considered in the differential diagnosis. Prof. Federico offered a complex and all-encompassing view of this large set of disorders and offered the public a glance, through case studies presentation, into the fascinating world of rare neurological disorders.Davide Pareyson , the Head of Rare Neurodegenerative and Neurometabolic Diseases Unit at the Dept. of Clinical Neurosciences, IRCCS Foundation, Neurological Institute Carlo Besta in Milan , presented \"Clinical and diagnostic approach for diagnosis of rare forms of peripheral neuropathies\", discussing the time to consider them as a diagnosis and ways to diagnose these diseases, pinpointing that the most important forms are hereditary and immune-mediated neuropathies. He talked about the role of early diagnosis in detecting diseases and initiating early treatment, and also approached clinical phenotypes for acute neuropathies, chronic sensory-motor demyelinating/axonal, relapsing, pure motor neuropathy, and sensory ataxic or painful neuropathies. Next, Prof. Pareyson presented the steps for diagnosis and the use of next-generation sequencing in certain diseases and hereditary TTR-related amyloid neuropathies in non-endemic countries. Lastly, he discussed Charcot-Marie-Tooth and other chronic immune-mediated or neoplastic neuropathies and underlined the fact that various neuropathies are represented by different phenotypes.Session 3 was overseen by Wolfgang Grisold (Austria) and Jean-Marc Burgunder (Switzerland). Firstly, Wolfgang Grisold (Austria), President of the World Federation of Neurology (WFN), presented on the Paraneoplastic Neurological Syndromes, with mentions about the history of the syndromes, different types of most-likely cancers, their mechanisms, therapy, and prognosis. He also discussed the classification of paraneoplastic antibodies based on cancer risk and offered insight into Lambert Eaton Syndrome. One crucial point of his presentation was that the diagnosis of paraneoplastic syndrome is a diagnosis of exclusion.Dafin Muresanu (Romania), President of the European Federation of NeuroRehabilitation Societies (EFNR) and Chairman at the Department of Neurosciences from Iuliu Hatieganu University of Medicine and Pharmacy in Cluj-Napoca (Romania), offered an inspiring glimpse into the neurorehabilitation for rare neurologic disorders in the context of rare causes of stroke, discussing the concepts of post-lesional brain regulation following two sequences (1) neuroprotection and (2) neurorepair. Prof. Muresanu mentioned that \"when neuroprotection is active, neurorecovery is silent\" and vice versa, showcasing that neurorehabilitation is represented by a mixture of neurorestorative and compensation capacities. He further discussed the intricacies of endogenous defense activity. Neurorehabilitation is a multidisciplinary concept aiming to improve biological function by creating therapeutic learning situations. Prof. Muresanu pinpointed the role of a specialized multidisciplinary neurorehabilitation team . Moreover, the 3 essential components of neurorehabilitation, (1) motor, (2) cognitive, and (3) mood, were discussed, and noteworthy examples of neurorehabilitation effects on different pathologies were presented.Maria Judit Molnar (Hungary), the Director at the Institute of Genomic Medicine and Rare Disorders Semmelweis University in Budapest (Hungary), on \"New therapies for Rare Neurologic Diseases\". Prof. Molnar discussed different therapeutic options, their mechanisms on various levels and how pharmacological or surgical approaches can influence the phenotype. She focused on gene therapy, ARN-based methods, and protein modification therapies, mentioning the importance of allogeneic hemopoietic stem transplantation in monogenic neurogenetic disorders. Her presentation showcased general applications of therapeutic gene transfer, gene delivery methods, approved gene therapies, future gene therapeutic approaches in neuromuscular disorders, and valuable lessons from clinical trials. Genetic therapies are increasing extremely fast, opening new options for patients with neurological disorders. Still, there are some limitations, such as the high prices and the ways in which clinicians can support the development of drugs and therapies.The last session of the day, Session 4, presided by Holm Graessner (Germany) and Maria Judit Molnar (Hungary), began with a presentation of Jean-Marc Burgunder (Switzerland), Professor of Experimental Neurology at the Faculty of Medicine, the University of Bern in Bern (Switzerland), discussed updates in neurogenetics and therapy. First, he offered examples of different diseases , discussed variations related to the age of onset, and presented an inspiring case study on hereditary spastic paraplegia in twins. The second part of his presentation was structured around the concept of gene therapy, the use of vectors for the restoration of dopamine production and the use of antisense oligonucleotides to modify gene expression. As neurology has a vast number of rare disorders (>7000), with many different genes, pathways, and pathophysiology, there is a dire need to better understand the presented concepts.Holm Graessner (Germany), Coordinator of the European Reference Network for Rare Neurological Diseases based at the University Hospital in Tubingen (Germany), showcased in his presentation \"Undiagnosed Rare Neurologic Diseases and the ERN Role\" the European reference networks for complex diseases. One insightful point was that the rareness of disease could refer to the rareness of:Patients;Experts;Care structures of knowledge;Therapies.He discussed the large number of expert centers in 25 EU countries which aim to improve care for patients with neurological diseases . They create added value based on the youth partnership plan built to integrate patient representatives and organizations in a structured manner. Moreover, these expert centers monitor the care to sustain improvements, offer e-health for cross-border care, work on expert opinion-based recommendations and provide guidelines.This awe-inspiring event stands as proof of the significant need for international collaboration and dissemination of knowledge in neurosciences overall, but even more direly for the fascinating yet less addressed topic of rare diseases. As rare neurological diseases can lead to significant inequities in the healthcare system and heavily impact the affected patients, it is paramount to find sustainable solutions, through joint efforts, to address these biases and provide an improved standard of diagnosis and care. It is important to remember that rare diseases not only reflect a reduced incidence but rather the fundamental problems identified by several speakers, namely the lack of specialists, resources directed for the research and development of pharmacological treatments, and the increased chance of misdiagnosis. All of these are completed by a lack of comprehensive understanding of the disease and the best treatment avenues to ensure a high quality of life for the patients."}
+{"text": "This Special Issue aims to highlight the usefulness of microRNA (miRNA) as diagnostic and prognostic markers of gastroenterological cancer (GC). GC is one of the leading causes of cancer death worldwide. Despite advances in GC therapy, the prognosis of those patients remains poor due to the high incidence of recurrence. A better understanding of the pathogenesis during GC development brings effective outcomes for the diagnosis and treatment at the early stages.Over the past two decades, researchers have unveiled the association between miRNA and the biology of GCs. In fact, the critical role of miRNAs in the developmental process of GCs is increasingly evident. Aberrant miRNA expression in tumor tissue and blood of GC has been implicated in disease diagnosis, prognosis, and therapeutic efficacy in different tumor types ,2. It isThis Special Issue contains three review articles and three original papers, amounting to six in total, on the biological roles of miRNAs in different tumor types of GC and their potential clinical applications. For example, inhibition of miRNA-122, a representative liver-specific miRNA, promotes drug resistance by increasing the expression of oncogenes in hepatocellular carcinoma and faciIn addition, miRNAs are released into circulation. Circulating miRNAs include the following four types: (1) miRNAs encapsulated in exosome, which have recently been recognized as promising, noninvasive, and stable biomarkers (2) miRNAs bound to protein and lipid, (3) miRNAs in apoptotic body, (4) miRNAs leaked from the cell . RecentlThe main aim of this Special Issue is to contribute to the current development and future prospects of tissue and circulating miRNAs as biomarkers of carcinogenesis, progression, metastasis, or drug resistance to chemotherapy in GCs. In addition, through the contributions to this special issue, we clarify how these GC-related miRNAs are involved in the mechanism of GC proliferation and development, and how these miRNAs can be applied to various biomarkers and GC therapies. Further data accumulation and clinical trials are needed to implement clinical applications."}
+{"text": "Clear documentation of the understanding of the problem, development process, and content of interventions is essential to understand why interventions succeed or fail. Transparent reporting will enable future researchers to build on previous evidence and replicate or adapt interventions for new contexts. This paper describes the theory- and evidence-based systematic development of the Bloom Trial - a home-based intervention to promote healthy weight development among infants and children in Denmark.Development of the intervention is guided by the six-step planning tool the Intervention Mapping protocol. Step 1: Needs assessment including identification of risk factors in infancy and existing interventions, interviews with parents, and an organizational capacity assessment. Step 2: Development of program theory and matrices. Step 3: Selection of theoretical methods and practical applications for modifying personal and environmental determinants. Step 4: Development of intervention tools. Step 5: Planning of program adoption, implementation, and sustainability. Step 6: Generation of an evaluation plan.The Bloom intervention is universal but with a strong focus on families with low socio-economic position and non-Danish ethnic background. It is aimed at first-time parents and addresses early risk factors for child overweight such as parental skills and healthy habits related to food and meals, movement, screen time and sleep, and introduce a new theme: sense of security in the family. It will be integrated in existing services delivered by community health nurses supplemented with extra elements such as telephone consultations, family groups and a video library.The transparency of the developmental process and theoretical, empirical, and contextual foundation of the Bloom Trial may enable future studies to build on our findings and accumulate knowledge to promote healthy weight development among infants and children.The development process resulted in a complex intervention addressing known risk factors for child overweight e.g., meals, movement, screentime and sleep, and introduce a new theme: sense of security.Transparency of the developmental process may enable future intervention studies to build on our findings and accumulate knowledge to promote healthy weight development among infants and children."}
+{"text": "Burnout occurs in every stage of a medical graduation and career. In the first years of graduation, is affects 35-45% of medical and dentistry students. This has severe consequences, such as: higher levels of suicidal ideation, substance abuse, medical errors and medical neglect; lower levels of empathy and self-compassion - essential to the quality of healthcare. Students with certain personality traits are more vulnerable to emotional dysregulation when facing stressors of daily life. Our recent studies proved that mindfulness and self-compassion can attenuate the effect of perfectionism on psychological distress.To present the rational, materials, methodology and preliminary results of our project COMBURNOUT, aimed to develop, implement and assess the efficacy of a mindfulness and self-compassion-based intervention to prevent burnout in medical and dentistry students.Students with high levels of burnout, psychological distress and perfectionism will be randomly assigned to intervention (8 weekly sessions) or control groups. The sessions will be composed by psychoeducation about burnout, mindfulness and self-compassion practices, within and between sessions. The follow up will include three assessment moments until a year after the intervention.We expect that the experimental group will present significantly lower levels of burnout, psychological distress and perfectionism, and higher levels of emotional regulation skills.The facilitators training and the manualization are guaranties of standardization and sustainability. If the positive impact of COMBURNOUT is verified, we intend to provide the program to medical/dentistry students from all over the country."}
+{"text": "Despite being disproportionately impacted by health disparities, Black, Hispanic, Indigenous, and other underrepresented populations account for a significant minority of graduates in biomedical data science-related disciplines. Given their commitment to educating underrepresented students and trainees, minority serving institutions (MSIs) can play a significant role in enhancing diversity in the biomedical data science workforce. Little has been published about the reach, curricular breadth, and best practices for delivering these data science training programs. The purpose of this paper is to summarize six Research Centers in Minority Institutions (RCMIs) awarded funding from the National Institute of Minority Health Disparities (NIMHD) to develop new data science training programs. A cross-sectional survey was conducted to better understand the demographics of learners served, curricular topics covered, methods of instruction and assessment, challenges, and recommendations by program directors. Programs demonstrated overall success in reach and curricular diversity, serving a broad range of students and faculty, while also covering a broad range of topics. The main challenges highlighted were a lack of resources and infrastructure and teaching learners with varying levels of experience and knowledge. Further investments in MSIs are needed to sustain training efforts and develop pathways for diversifying the biomedical data science workforce. The National Institutes of Health (NIH) has had long-term strategic interests in bolstering the diversity of the biomedical and behavioral research communities . While eData science has grown tremendously in the past several years due to its great potential to transform industries, economies, and scientific discoveries. Many data science initiatives from the NIH, e.g., All of Us Precision Medicine, Bridge to Artificial Intelligence (BRIDGE2AI), are largely focused on the generation of flagship data sets to accelerate health research and improve the health of racial and ethnic minority populations ,7. AlthoThis paper aims to summarize all the NIMHD-funded RCMI institutions and their efforts with the development, deployment, and delivery of their respective data science training programs. We evaluate and highlight the reach, breadth, and feedback of these training programs with a particular emphasis on the targeted population and topics covered in the curriculum, as well as challenges & successes faced while designing and implementing these programs. Specifically, we utilized a cross-sectional survey to measure the demographics of learners served, curricular topics covered, methods of instruction and assessment, challenges, and recommendations by program directors. In what follows, we provide an overview of the RCMI program and the funding announcement from the NIMHD. We then provide an overview of survey questions and report on the results using descriptive methods. We conclude with a discussion on challenges and recommendations highlighted by project directors and link these results with the broader literature on developing and sustaining training programs with the stated goal of enhancing diversity.The study design consisted of a cross-sectional survey administered at six minority-serving institutions awarded supplements from the NIMHD to develop new data science training programs. This included RCMI programs at the University of Puerto Rico\u2014Medical Sciences Campus, Meharry Medical College, Jackson State University, the University of Hawaii at Manoa, Howard University, and the RCMI coordinating center at the Morehouse School of Medicine.The Research Centers in Minority Institutions (RCMI) Program is a congressionally sponsored program initiated by the NIH in 1985 and administered by the National Center for Research Resources (NCRR) [Since its establishment, the RCMI program has proven itself as a research powerhouse, with extraordinary strength across the spectrum of translational medicine, health disparity research, and minority research participant enrollment. As noted by Ofili et al., between 2000 and 2015 RCMI investigators from 18 sponsored institutions leveraged $805 million in RCMI program funds into $3.7 billion in additional awards, including 1643 R01 awards, with >14,000 publications and >500 patent disclosures [To address a lack of diversity in biomedical data science and to be better positioned for the challenges posed by the complex, highly dimensional, and inherently transdisciplinary nature of health disparities, the National Institute of Minority Health Disparities (NIMHD) issued a notice of special interest (NOSI) to invite applications for administrative supplements from eligible RCMIs. This funding opportunity is aimed at enhancing data science capacity at recipient institutions and fostering further collaborations between RCMI-funded researchers and data scientists .The emphasis of the supplement was placed on the development of data science skill-building activities. In the notice, the activities of interest included the development of new modules focused on data analysis with health disparities datasets. Additionally, the NOSI cited interest in the integration of datasets representing \u201cmultiple levels and domains of influence in the NIMHD Research Framework\u201d .The survey consisted of 25 questions and focused on understanding the breadth of the curriculum marshaled at each program. They survey was modified to assess additional criterion, such as program-specific data, including demographics of trainees, knowledge areas covered in training programs, mechanisms for instruction, and assessed competencies. The questions in this survey were based on an ACM Data Science Task Force questionnaire administered to academic and industry participants to understand the landscape of curricular offerings in data science . The surDescriptive analysis was performed on all quantitative survey data, including frequencies and percentages. Additionally, themes were identified in open ended questions around challenges and recommendations inductively.Six NIMHD-funded RCMIs were awarded to increase data science capacity for resource-constrained, minority-serving institutions. These institutions included the Medical Sciences Campus at the University of Puerto Rico, Meharry Medical College, Jackson State University, the University of Hawaii at Manoa, Howard University, and the RCMI-Coordinating Center located at the Morehouse School of Medicine.The specific aims of each of these training programs are detailed below:University of Puerto Rico\u2014Medical Sciences Campus: To enhance and build capacity for investigators and students from biomedical informatics and other disciplines in DS/AI/ML topics such as Jupiter Hub, coding with R, RStudio, and Python, using ML libraries and other cutting-edge techniques to mitigate Hispanics\u2019 health disparities. To accomplish this aim, we developed of a new course \u201d), focused on data analysis using Hispanics datasets, that represents multiple levels and domains of influence in the NIMHD Research Framework.Meharry Medical College: Develop authentic and sustainable collaborations between Meharry\u2019s RCMI researchers and data scientists within Meharry\u2019s new School of Applied Computational Sciences. Enhance Meharry\u2019s RCMI capacity by providing data science training to the community. Assess the learning and data analytics skills of the RCMI investigators, post-docs, staff, and/or graduate students and research capacity enhancement of the RCMI program.Jackson State University (JSU): With the overarching goal to train the next generation of scientists to address the monumental challenge associated with the curation, integration, analysis, and interpretation of biomedical big data, the specific aims of the Biomedical Data Science Training Program (BDS-TP) at JSU are to foster collaborations between data scientists and biomedical, socio-behavioral, and/or clinical researchers at the RCMI Center for Health Disparities Research at JSU; and build the capacity of JSU and other Historically Black Colleges and Universities (HBCUs) in Mississippi in biomedical data science by developing the biomedical data science skills of science, technology, engineering, and mathematics (STEM) faculty, students, and post-doctoral research fellows.University of Hawaii at Manoa: Provide education and training of data science-related skills to RCMI Researchers and their collaborators. Enhance collaborations between RCMI-funded researchers and data scientists. In addition to training RCMI investigators and their collaborators in a group in Aim 1, we will also offer individual data science training for investigators to foster collaborations between investigators and our data science experts.Howard University: To develop a new and targeted intensive data science modular training workshop focused on data analysis with minority health and health disparities datasets. To develop hands-on experience in the utilization of data science in minority health and health disparity research, which includes: (a) develop mentored summer research projects for undergraduate, graduate, and post-doctoral trainees and, (b) host product driven Codeathon events to address an issue or issues related to minority health or health disparity research. To promote and support the institutionalization of data science efforts at Howard University by: (a) developing train-the-trainer programs that provide targeted training opportunities for HU educators and encourage them to incorporate data science principles and exposures in their class offerings; and (b) developing a train-the-researcher program that provides training opportunities for HU RCMI researchers with emphasis on junior faculty to effectively incorporate cutting-edge data science techniques and capabilities into their research efforts.RCMI-CC at the Morehouse School of Medicine: To enhance the data science capacity of RCMI investigators across the RCMI consortium by collaboratively developing a project-based curriculum and organizing workshops introducing data science fundamentals and tools, as well as NIH-funded resources and datasets relevant to minority health disparities. To stimulate data science collaborations across U54 centers, as well as between U54 and non-RCMI institutions by organizing Data Science and Health Disparities Demo Days and launching enrichment awards to support the development of collaborative research projects.Each program recruited a diverse cohort of trainees at differing stages in their careers, ranging from undergraduate students to postdoctoral fellows and early-stage investigators and senior faculty see . The parInstitutions utilized existing resources, created new resources, and invited instruction from outside faculty see . Funded Survey respondents were asked to enumerate the top three challenges faced when designing and implementing their training programs , generally. The responses were varied but focused on similar themes, summarized in Examples of these recommendations were \u2018training-the-trainer\u2019 models of didactics, embedded multi-level coursework inside training programs , and investments in diverse faculty and mentorship to broaden the interdisciplinary reach at partnering institutions.The purpose of this study was to shed light on the reach, curricular breadth, and best practices in data science training at resource-constrained, minority-serving institutions by summarizing the efforts of six NIMHD-funded RCMI programs that received funding to develop data science training programs. The programs surveyed shared curricular goals around the application of cutting-edge data science techniques to different data types and training development around data science resources and tools. The average program used four tools and discussed over ten (>10.6) computing knowledge areas over the course of their curriculum. Together, the programs targeted building capacity at every point in the higher-education process (from undergraduates to continuing education for professors). The shared goals of the RCMI programs were to increase training capacity, professional development, and institutional collaboration. These goals have been highlighted across several RCMI initiatives and in the evaluation of RCMI programming ,14,15.The survey results also emphasize several pertinent themes around challenges in, and recommendations for, designing, implementing, and sustaining training programs to enhance diversity in data science training. Notably, the challenges and recommendations were reflective of issues of long-term planning and investment. For instance, the need for broad infrastructure was a recurring theme in survey responses; the possibilities for infrastructure development to bridge the chasm in data generation, analysis, access, and distribution has been echoed for several years ,16,17. AWhile the recommendations were diverse, the most agreed upon recommendations can be summarized by the prioritization and development of long-lasting resources. Program directors independently recognized the ways that diverse data set development, training for learners at various levels of erudition, and a multiplicity of training options would provide a better outlook for future generations of diverse investigators with robust data science skills. A plethora of educational modalities for healthcare researchers at various stages of education have demonstrated comparable performance and increased the reach of educational objectives ,21,22 anThere are three limitations of our study that are worth considering: first, the six RCMI programs considered are not a random sample of RCMI institutions. The programs covered were awarded grants through a competitive process, which limits the generalizability of our findings. Second, the funding opportunity from the National Institute for Minority Health disparities did not require a formal evaluation plan. As such, the programs evaluated did not utilize the same approaches to evaluating their respective programming. While our analysis attempted to develop a better understanding of who took part and what would be required to sustain the program over time, future studies should incorporate a formal evaluation of the data science programs using an existing framework like RE-AIM . FinallyThis article adds to the literature on investments in minority-serving institutions with the twin aims of enhancing capacity in these resource-constrained environments and contributing to the diversification of the scientific workforce. Our descriptive study provides insight on federally funded data science training programs leveraging the breadth and depth of the NIMHD-funded RCMI network. Our results support the need for increased diversity in data sets, increased curricular materials and work sets reflective of the diverse audiences served, and further diversity of personal and professional exposure for underrepresented professionals in biomedical data science. Investment and funding efforts to build and sustain increased capacity at RCMI and minority-serving institutions are necessary and may prove increasingly so as the diversity of the nation continues to outpace the diversity reflected in NIH-funded datasets and research. Taken together, there is strong evidence for building capacity in biomedical data science at RCMI institutions and the downstream impact for enhancing diversity in the biomedical research and data science workforce."}
+{"text": "Frontiers in Microbiology to describe the state of the art, recent developments, major accomplishments, as well as the challenges and potential directions to move the fields of Microbiological Chemistry and Geomicrobiology forward.As the pivotal players in all the ecosystems, microbes drive the biogeochemical processes that are of both fundamental and practical significance. Microorganisms exert multiple ecosystem services which are crucial for the pressing issues such as biodiversity conservation, remediation of environmental pollution, global climate change, food production, and public health , the group of enzymes catalyzing hydroxylation of medium\u2014to long-chain length alkanes, focusing on the arrangement of the electron transfer proteins that activate AlkB. In the most extensively studied model organism, Pseudomonas putida GPo1, the alkB gene occurs on the OCT plasmid within an operon containing all the genes necessary for the transformation of alkanes to fatty acids and AlkB activation occurs via electron transfer from a flavin reductase and an iron-sulfur protein. Although this mechanism is well-established, the authors note that the OCT operon is not common in sequenced microbial genomes that contain alkB and describe other alkane-oxidizing strains that employ alternative electron-transfer arrangements. The authors review the biochemistry of the electron-transfer proteins and speculate about their biological significance. They also propose future avenues to enhance the mechanistic understanding of AlkBs in terms of their in vivo and in vitro characterization, structural information and alternative substrates.Alkanes originating from a variety of sources represent an important component of the global carbon cycle on Earth. While selective activation of the non-polar carbon-hydrogen bonds is energetically challenging, a variety of aerobic microorganisms are capable of oxidizing alkanes. Takamiya et al. report ultra-small cells inhabiting the grain boundaries of metal sulfide mineral assemblages in samples collected from extinct chimneys located in the southern Mariana Trough. Combined nanoscale secondary ion mass spectrometry (NanoSIMS), transmission electron microscopy coupled with electron diffraction (TEM-SEAD), Raman spectroscopy, fluorescence microscopy, and in-situ biosignature analysis allowed visualization and identification of ultra-small cells coated with copper nanoparticles in the chimney interior. Taken together these analyses support the occurrence of a distinct microbial community in the oligotrophic and anoxic extinct chimney. This study of ultra-small cells inhabiting the interior of a chimney suggests that photosynthesis-independent microbial ecosystems in submarine metal sulfide deposits could have existed billions of years ago on the early Earth.Genetic evidence provided by high-profile sequencing, parallel geochemical coupled with microscopic and spectroscopic analyses provide convincing evidence for the microbe-environment nexus, especially for organisms that are challenging to be cultivated. Liu et al. investigated the interplay of light, minerals, and microbes that could occur in the marine euphotic zone. Based on a suite of mineralogical and photoelectrochemical analyses, photoreduction and electron conversion were demonstrated for goethite (\u03b1-FeOOH), a representative and widespread semiconducting natural mineral. The experiments simulating light-illuminated marine euphotic zones showed photoreduction of goethite and release of reduced Fe(II) which affected the structure and diversity of the mineral-associated microbial community. The results suggest that light-induced interactions between semiconducting minerals and microorganisms may regulate microbial carbon cycles in the marine euphotic zone.Increasing evidence has demonstrated the importance of previously unrecognized reaction pathways in biogeochemical processes comprised of synergistic abiotic and biotic reactions. One example is the photoelectric conversion system, in which natural semiconducting minerals act as catalytic shuttles to sustain electron and energy flow from light to non-phototrophic bacteria. Chen et al. investigate the microbial composition and the ecological processes controlling community assembly shaped by different cropping strategies. Amplicon sequencing, functionality prediction, statistical analyses and modeling demonstrated that various cropping treatments influenced microbial communities, interspecies interactions, and the ecological processes that shaped the community composition in different soil-plant compartment niches. Crop rotation intensified the interspecies competition and decreased heterogeneity of the rhizosphere via strengthened selection force. Furthermore, the indicator species significantly influenced by intercropping and crop rotations potentially facilitated nitrogen/phosphorous cycling and degradation processes, respectively. The results suggest appropriate agricultural management may improve farmland soil fertility, crop yields, biomass growth, and economic benefit.Insightful understanding of microbe-environment interactions can also facilitate practical applications such as agriculture management and treatment of hazardous algal blooms. Coyne et al. provide a comprehensive review on algicidal interactions to control harmful algal blooms. Bacteria are capable of driving algicidal or algistatic effects through physical contact (direct mode) or generation of algicidal compounds (indirect mode), which result in a wide range of reversible and irrevocable outcomes for the target algae. The range of algicidal interactions, including specificity of bacterial control, mechanisms for activity, and chemical and biochemical characterization of the algicidal mode, were discussed. Considering the constraints on the spectrum and concentrations of bacteria and target algal species in laboratory-scale experiments, the research and strategies to enhance the efficacy of algicides and stability of the algicidal microbial cohorts under environment-relevant conditions were emphasized. The avenues for future research of alternative applications of algicidal bacteria in biotechnology, their ecological effects on non-target species, characterization and optimization of novel algicides to control hazardous algal blooms were also proposed and discussed.Finally, Taken together, the reviews and articles published in this issue cover different aspects of microbiological chemistry and geomicrobiology, from insights on genetic and biochemical mechanisms of biogeochemical processes in unique ecosystems to advancing fundamental knowledge for practical applications . Active research in these areas and many more exciting discoveries ahead of us will pave the way toward a more comprehensive understanding of biogeochemical processes in diverse ecosystems and integral to support sustainable development goals and the wellbeing of human populations.Both authors contributed to the article and approved the submitted version.via China University of Geosciences (Wuhan). BT acknowledges research funding received from the U.S. National Science Foundation on grants EAR 2122086 and CHE 2120408.YD appreciates the funding support from National Natural Science Foundation of China under the contracts 92051111, 41877321, and 91851211 and the Fundamental Research Funds for the Chinese Central Government The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest.All claims expressed in this article are solely those of the authors and do not necessarily represent those of their affiliated organizations, or those of the publisher, the editors and the reviewers. Any product that may be evaluated in this article, or claim that may be made by its manufacturer, is not guaranteed or endorsed by the publisher."}
+{"text": "The burden of cirrhosis is increasing in North America where a significant proportion of the population (~20%) is comprised of recent immigrants and refugees. However, the incidence of cirrhosis among this population has not been described.The aim of this study was to describe the incidence of cirrhosis among recent immigrants and refugees to Ontario, Canada stratified by cirrhosis etiology and region of origin and compare incidence rates to those of Canadian-born and long-term residents.This is a population-based cohort study from Ontario, Canada from 2000-2017 using healthcare data housed at ICES. Individuals with incident cirrhosis using a 5-year lookback were identified along with cirrhosis etiology using validated algorithms. Recent immigrants and refugees to Ontario (since 1985) and their World Bank region of origin were defined based on linkage to the Immigration, Refugees, and Citizenship Canada\u2019s Permanent Resident database. Adjusted incidence rates of cirrhosis by immigration status, etiology, and region of origin were calculated and differences in rates were compared between recent immigrants and refugees to long-term residents (born in Canada or arriving before 1985) using age and sex adjusted Poisson regression to calculate rate ratios (RR).In total, n=25,054 recent immigrants/refugees with incident cirrhosis were identified. 59% were male, median age was 49 years (IQR 39-61), 99% resided in urban areas and 31% resided in neighbourhoods of the lowest income quintile. The most common regions of origin were East Asia and Pacific , South Asia , Europe and Central Asia and Latin America/Caribbean . The majority had NAFLD cirrhosis , followed by HBV , ALD , and HCV . Cirrhosis incidence stratified by etiology varied by region of origin, with HBV highest among the East Asia and Pacific and Sub-Saharan Africa cohort , HCV among Sub-Saharan Africa and South Asia , ALD among European/Central Asia and South Asia , and NAFLD among the Latin America/Caribbean, Middle East/North Africa, and South Asian populations . When comparing age and sex adjusted incidence of cirrhosis by etiology and immigration status, rates were lower among recent immigrants/refugees for all causes compared to long-term residents with the exception of HBV where it was over 4-fold higher .Rates of HBV cirrhosis are substantially higher among migrants to Ontario while rates of all other causes of cirrhosis are lower, likely explained by the healthy immigrant effect. NAFLD has emerged as the most common etiology of cirrhosis among migrants with rates approaching those of Canadian-born and long-term residents. These data add to our understanding of the evolving epidemiology of cirrhosis and the contribution of other etiologies outside of viral hepatitis among immigrants.NoneNone Declared"}
+{"text": "Tourism eco-efficiency is a performance basis for evaluating green total factor productivity and sustainable development.The objective of this study was to measure tourism eco-efficiency in Inner Mongolia and explore its influencing factors. The aim was to provide an accurate reference for improving the quality and efficiency of tourism in Inner Mongolia and promoting the sustainable development of the regional economy and society.Tourism eco-efficiency in Inner Mongolia from 2009 to 2019 was calculated using a super-slacks-based measure (SBM) model with an undesirable output. The spatial variation function was used to explore the spatial evolution pattern of tourism eco-efficiency in Inner Mongolia, and the influencing factors of the spatial evolution were analyzed by geographically weighted regression.Tourism eco-efficiency in Inner Mongolia is relatively low. Eco-efficiency values among cities in Inner Mongolia vary, and their distribution is not balanced. The structural eco-efficiency of tourism in Inner Mongolia has been consistent from 2009 to 2019. The degree of homogenization in the overall direction is relatively good. Furthermore, its spatial distribution form and internal structure evolution show a certain regularity and continuity. The pattern evolution of tourism eco-efficiency in Inner Mongolia is jointly driven by the economic level, environmental regulation, industrial structure, traffic conditions, resource endowment, and tourism reception facilities. These influencing factors show obvious spatial heterogeneity.From the perspective of Inner Mongolia, the difference in the tourism eco-efficiency value from 2009 to 2019 was relatively large, but the number of effective areas in the efficiency frontier generally showed a fluctuating growth trend. The range parameters of tourism eco-efficiency showed a decreasing trend, and the spatial correlation effect of tourism eco-efficiency in Inner Mongolia showed a decreasing trend under the influence of structural and spatial differentiation. Tourism is one of China's strategic pillar industries. In addition to helping regional economic growth and poverty alleviation, tourism contributes significantly to aesthetics and ecological civilization in China . In receSchaltegger first proposed the concept of eco-efficiency in 1990 , and thevia exploratory spatial data analysis method.2, with abundant grasslands, forests, mountains, rivers, and deserts among other natural resources and Manchu and Mongolian culture, ethnic customs, border ports, and other human tourism resources. In recent years, Inner Mongolia has made a significant effort to create the brand image of \u201cbright Inner Mongolia is in the north of the motherland.\u201d In 2020, Inner Mongolia planned to promote epidemic prevention and control and cultural tourism, the year-round reception of domestic tourists and domestic tourism revenue reached 125 million people and 240.406 billion yuan (RMB), indicating that the development of tourism has developed well and Y(xi+k) are the observed values Y(x) of the geographic variables at the points xi and xi+k,N(k) are the sample sizes of the k segmentation distance.Geographically weighted regression focuses on the local effects of spatial objects. Based on the principle of regression, it attempts to explore the relationship between spatial variables under the premise of considering the spatial correlation of the samples. Based on this, the spatial variation and driving factors of the research object are extended forward, and the characteristics and laws of spatial variation are analyzed \u201346. The yi refers to the global dependent variable; xik is the independent variable; (uivi) is the coordinate of the capital city of the i region; \u03b2k is the spatial unit value of the continuous function in the i region; \u03b5i is the random error term,\u03b20 and \u03b2kare the parameters; and kis the number of regions.Where Based on the super-SBM model of the variable return scale (VRS) with an undesirable output, tourism eco-efficiency in Inner Mongolia from 2009 to 2019 was statically evaluated and obtained . OverallTourism eco-efficiency is a static measure that is independently measured yearly. Therefore, to determine the mobile changes in the tourism eco-efficiency levels in Inner Mongolia from 2009 to 2019, it is necessary to measure its growth rate. In this study, the VRS model was used for the measurement analysis considering the machine learning (ML) index, which refers to the growth rate of tourism eco-efficiency when the desired output is increased and the undesired output is reduced in equal proportion. The ML index includes two indicators: tourism eco-technical efficiency growth rate (EC) and tourism eco-technical progress growth rate (TC) . The ML First, the projection coordinate system of Inner Mongolia was measured, then the spatial variation function of 2009, 2013, and 2019 Inner Mongolia tourism eco-efficiency was measured, and finally, the optimal model for measuring the fractal dimension of each direction was selected. Ultimately, the Kriging interpolation simulation was performed to comprehensively analyze the evolution process of the spatial pattern of tourism eco-efficiency in Inner Mongolia. According to the results of the spatial variation value of tourism eco-efficiency in Inner Mongolia , the GauFrom the fractal dimension of the spatial variation function , the oveThe Kriging interpolation simulation of the variation function of tourism eco-efficiency in Mongolia shows thui, vi) as a i coordinate, the GWR model of tourism eco-efficiency is expressed as follows:Based on the objectivity of the spatial heterogeneity of the influencing factors of tourism eco-efficiency, the GWR method was used to measure the regression coefficients of the influencing factors in each region. Data from 2009, 2013, and 2019 were selected to construe the spatial evolution law of the influencing factors on the eco-efficiency level. Considering , industrial structure (tertiary industry share), traffic condition (ratio of the length of graded highways to the urban area), resource endowment (the weighted score of high-level scenic spots), and environmental regulation , respectively, in the period J of the region i.Where ArcGIS10.4 was used to calculate GWR, and the regression coefficients of each influencing factor were divided into five levels ranging from the high-value area to the low-value area based on five levels of natural fracture points . In termThis study uses a super-SBM model with an undesirable output to assess and analyze tourism eco-efficiency during 2009\u20132019 in Inner Mongolia. Then, using the spatial variation function analysis of the spatial and temporal evolution characteristics of tourism eco-efficiency in Inner Mongolia and based on the GWR analysis of the influence of factors of tourism in Inner Mongolia on eco-efficiency, the following conclusions were drawn.The average tourism eco-efficiency in Inner Mongolia is 0.74, which is relatively low. Furthermore, the tourism eco-efficiency values of the provinces vary significantly, and their distribution is unbalanced. In addition, technological progress contributes significantly to the growth rate of tourism eco-efficiency in Inner Mongolia, indicating that technological innovation has a relatively high impact on tourism eco-efficiency. The differences in tourism eco-efficiency from 2009 to 2019 in Inner Mongolia were relatively large, but the number of effective areas in the efficiency frontier generally showed a fluctuating growth trend. The results of this study echo previous studies. Jun shows that the extensive economic growth mode restricts the improvement of tourism eco-efficiency in Inner Mongolia . The impThe range parameters of tourism eco-efficiency showed a decreasing trend, and the spatial correlation effect of tourism eco-efficiency in Inner Mongolia showed a decreasing trend under the influence of structural and spatial differentiation. Tourism eco-efficiency in Inner Mongolia showed consistent structural characteristics in different periods. The general homogenization degree of tourism eco-efficiency is relatively good, and the spatial difference in the local direction is relatively obvious. The spatial distribution pattern and internal structure evolution of tourism eco-efficiency have a certain regularity and continuity, showing a high-value concentrated distribution, and low-value scattered contiguous distribution. Yuanyuan and Yuxiang pointed out that the spatial variation function can deeply describe the randomness and structure of regional variables and measure the degree of variation of the spatial pattern of economic units . The strThe pattern evolution of tourism eco-efficiency in Inner Mongolia is jointly driven by the economic level, environmental regulation, industrial structure, traffic conditions, resource endowment, and tourism reception facilities, and there is obvious spatial heterogeneity among the influencing factors. The spatial and temporal patterns of the impact of environmental regulation on tourism eco-efficiency are generally consistent with those of economic factors. The spatial and temporal patterns of the influence of traffic conditions and resource endowment on tourism eco-efficiency are generally consistent with those of the influencing factors of industrial structure. Zhilong and Diyun emphasized that the economic level, industrial structure, resource endowment, infrastructure, and environmental regulation are the key factors affecting tourism eco-efficiency , 41. TheThis study first constructs a tourism eco-efficiency evaluation index system based on Inner Mongolia and then explores the evolutionary path and spatial pattern of tourism eco-efficiency in Inner Mongolia from the perspective of the geographic spatiotemporal dimension. To provide an accurate reference for improving tourism quality and eco-efficiency in Inner Mongolia and the sustainable development of the regional economy and society.First, the study presents research on tourism eco-efficiency from the perspective of ecological and environmental protection, which conforms to the connotation of developing an ecological civilization and meets the requirements of high-quality economic development. This is of great significance for enriching the theory of ecological civilization construction and expanding the applicable category of ecological civilization construction. Second, tourism eco-efficiency is the application of the theory of tourism eco-efficiency. Tourism eco-efficiency can combine the development of the tourism economy with its environmental impact, which can also provide some academic reference for the study of eco-efficiency in other industries. Finally, this study tries to determine the temporal evolution path and spatial pattern of tourism eco-efficiency, which is the basic paradigm of geographic spatiotemporal analysis. With respect to research, this study incorporated the undesired output in the tourism eco-efficiency measurement and constructed a relatively scientific, systematic, and perfect tourism eco-efficiency evaluation index system. In addition, the rules of spatiotemporal evolution and the characteristics of tourism eco-efficiency based on Inner Mongolia were analyzed. This provides additional insight into the correlation between geographical spatial patterns and the ecological environment, and promotes the cross-integration of tourism economics and tourism geography and other marginal disciplines. With respect to research methods, this study adopts the super-SBM model with the undesirable output to calculate tourism eco-efficiency in Inner Mongolia from 2009 to 2019, and comprehensively uses the Malmquist\u2013Luenberger index to break down tourism eco-efficiency. The spatial variation function and GWR analysis describe its spatiotemporal evolution characteristics and allow the integration of econometrics, spatial geography, and other disciplines.Tourism eco-efficiency is an essential index for the formulation of a tourism development plan, the evaluation of tourism management, and the promotion of the sustainable development of the tourism destination. The evaluation of tourism eco-efficiency, the description of the time evolution path, the outline of the spatial distribution pattern, and the discussion of its dynamic correlation with the development of the tourism economy have significant practical value. In the face of increasing tourism energy consumption and the worsening of the ecological environment, Inner Mongolia tourism eco-efficiency evaluation can effectively reflect the relationship between economic activities and the ecological environment. This is validated by the development of the worsening situation of the tourism ecological environment, can boost sustainable blossom of the province tourism such as national macro policy takes root provides the beneficial reference. The exploration of the time evolution model and the outline of the spatial pattern of tourism eco-efficiency in Inner Mongolia elucidate the sustainable development of the entire region's tourism in Inner Mongolia from a macro perspective and provide scientific guidance for the \u201ctop-down\u201d decision and \u201cbottom-up\u201d policy of tourism ecological protection in Inner Mongolia. Moreover, this study explores the spatial and temporal patterns of tourism eco-efficiency and its influencing factors in Inner Mongolia, which provides a reference for the optimization of tourism eco-efficiency and the sustainable development of tourism in other regions.Under the national macro context of constructing an ecological civilization, Inner Mongolia should change its tourism development model, enhance tourism eco-efficiency, and promote the sustainable development of tourism. Therefore, this study proposes the following. In view of the performance of tourism eco-efficiency in Inner Mongolia, the environmental ecology of tourism in Inner Mongolia needs to be improved, and environmental protection needs to be considered while developing the tourism industry, to enhance the sustainable development of tourism , 18. FirThis study explores in depth the spatial pattern and influencing factors of tourism eco-efficiency in Inner Mongolia. The study provides a reference for future research on tourism eco-efficiency and sustainability in Inner Mongolia and other regions. However, this study has certain shortcomings that should be addressed. First, regarding the design of the index system, carbon emissions as an undesirable output of tourism eco-efficiency reflect the negative impact of tourism on the environment. However, related theoretical and empirical research is insufficient; the travel coefficient of carbon emissions for Inner Mongolia has not been evaluated. Therefore, the measurement results of tourism eco-efficiency may be slightly conservative , 22. SecThis study first constructs the tourism eco-efficiency evaluation index system and then explores the evolution path and spatial pattern of tourism eco-efficiency in Inner Mongolia from the perspective of the geographic spatiotemporal dimension. Inner Mongolia has a relatively low tourism eco-efficiency value, with an average value of 0.74. Furthermore, the tourism efficiency values of the provinces vary and their distribution is unbalanced. The range parameters of tourism eco-efficiency and the spatial correlation effect of tourism eco-efficiency in Inner Mongolia under the influence of structural and spatial differentiation showed a decreasing trend.The original contributions presented in the study are included in the article/supplementary material, further inquiries can be directed to the corresponding author.XW contributed to all aspects of this work. YW wrote the main manuscript text and analyzed the data. Both authors reviewed this manuscript, read, and agreed to the published version of the manuscript."}
+{"text": "Microbial biofilms are spatially organized communities of microorganisms attached to different surfaces and embedded within a self-produced matrix composed of extracellular polymeric substances (EPS). The formation of biofilms frequently occurs in the food industry, due to available nutrients, large areas for microbial growth, and the complexity of processing facilities. Microbial biofilms have represented an outstanding survival strategy against stressful conditions for both spoilage and pathogenic bacteria during food processing the mechanisms underlying the formation of mixed-species biofilms; (2) the persistence and resistance under food processing environments; (3) the development of appropriate methods to study mixed-species biofilms; and (4) the potential novel strategies to control the formation of mixed-species biofilms. This Research Topic comprises 4 original research articles from Austria, China, Canada, and South Korea, contributed by 24 authors. Two contributions focused on the evaluation of mixed-species biofilm formation, and the others designed potential effective methods to control the formation of multi-species biofilms.Voglauer et al. described the complexity of mixed-species biofilms formed in water hoses of a meat processing environment by high-throughput 16S rRNA gene sequencing, with Comamonadaceae and Pseudoxanthomonas being most abundant in biofilms. Opportunistic pathogens, including the genera of Neochlamydia, Legionella, and Pseudomonas, have also been detected with different abundances. However, knowledge of the effects of environmental factors on the formation of biofilms in water hoses is limited. The authors also stated that control strategies have to be taken to prevent the colonization and biofilm formation in water hoses in order to assure water safety for the health of workers and consumers. In another study, Nan et al. evaluated the formation and transfer of mixed-species biofilms by Escherichia coli O103:H2 and lactic acid bacteria or spoilage bacteria at different temperatures, storage time, and humidity conditions. They stated that the formation of mixed-species biofilms may increase or diminish the risk of beef contamination by E. coli O103:H2, depending on the bacteria community and environmental conditions in beef processing environment.Yan et al. confirmed the high antibiofilm efficiency of lightly acidic electrolyzed water by preventing surface adhesions and impairing biofilm cell membrane integrities, and the antimicrobial activity highly depends on its storage time. This study also investigated the inhibitory effect of slightly acidic electrolyzed water on mixed-species of Listeria monocytogenes Scott A and Staphylococcus aureus for the first time.It is generally believed that mixed-species biofilms exhibit higher resistance to biofilm control strategies in food processing facilities when compared to single-species biofilms the mechanisms underlying the formation of multi-species biofilms by omics, and (2) the development of appropriate methods to study multi-species biofilms and still needed for a better understanding of multi-species biofilms.All authors listed have made a substantial, direct, and intellectual contribution to the work and approved it for publication.This research was financially supported by the Natural Science Foundation of Jiangsu Province (BK20210814) and China Postdoctoral Science Foundation (2021TQ0274).The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest.All claims expressed in this article are solely those of the authors and do not necessarily represent those of their affiliated organizations, or those of the publisher, the editors and the reviewers. Any product that may be evaluated in this article, or claim that may be made by its manufacturer, is not guaranteed or endorsed by the publisher."}
+{"text": "Dear Editor,Acquired generalized idiopathic anhidrosis (AGIA) is a rare disease without a defined etiology, non-related to dysautonomia or neurological abnormalities.A 20-year-old military male, of non Asian descent, without comorbidities, had developed diffuse anhidrosis for eight months, not affecting the palmoplantar and axillary regions, associated with multiple small normochromic papules, with an erythematous base, affecting the face, trunk, back region and upper limbs . The rasAGIA clinically presents as the absence of sweating after stimulation. The symptoms of heat intolerance and cholinergic urticaria are associated, corroborating the predominance in individuals whose work activity involves exposure to heat. Preserved palmoplantar and axillary sweating is justified by the adrenergic innervation and the predominance of apocrine sweat glands, respectively.The diagnosis is clinical, and pathological examination may reveal the presence of perieccrine lymphocytic inflammatory infiltrates.The differential diagnosis of anhidrosis includes congenital and acquired causes . Three sDespite reports of therapeutic success with corticosteroid use, there are no clinical studies to prove its efficacy. There is no consensus on the method of administration, dose, and duration of treatment.4None declared.Maisa Aparecida Matico Utsumi Okada: Design and planning of the study; data collection, or analysis and interpretation of data; drafting of the manuscript.Let\u00edcia Santos Dexheimer: Critical review of important intellectual content; approval of the final version of the manuscript.Renan Rangel Bonamigo: Critical review of important intellectual content; approval of the final version of the manuscript.Renata Heck: Critical review of important intellectual content; approval of the final version of the manuscript.None declared."}
+{"text": "The application of human factors engineering for rehabilitation robots is based on a \u201chuman-centered\u201d design philosophy that strives to provide safe and efficient human-robot interaction training for patients rather than depending on rehabilitation therapists. Human factors engineering for rehabilitation robots is undergoing preliminary investigation. However, the depth and breadth of current research do not provide a complete human factor engineering solution for developing rehabilitation robots. This study aims to provide a systematic review of research at the intersection of rehabilitation robotics and ergonomics to understand the progress and state-of-the-art research on critical human factors, issues, and corresponding solutions for rehabilitation robots. A total of 496 relevant studies were obtained from six scientific database searches, reference searches, and citation-tracking strategies. After applying the selection criteria and reading the full text of each study, 21 studies were selected for review and classified into four categories based on their human factor objectives: implementation of high safety, implementation of lightweight and high comfort, implementation of high human-robot interaction, and performance evaluation index and system studies. Based on the results of the studies, recommendations for future research are presented and discussed. Stroke is a cerebrovascular disease that causes significant morbidity, disability, and mortality, often leading to motor dysfunction or permanent disability , 2. WithRehabilitation robotics is a specific branch that focuses on helping patients restore or reestablish motor function. Rehabilitation robotics can be used in many aspects of physical therapy. It attempts to combine multiple technologies to maximize the physical rehabilitation training needs of patients, making extensive advances in robotic prostheses and other fields . Thus, iThe direct target of rehabilitation robots is the patient, and human factors goals such as safety, comfort, reliability, and adaptability are key considerations. Some rehabilitation products, such as HAL-5, Lokomat, and Hero Arm, have entered the market . But in The above-given context raises the question of how far the research application of human factor engineering in rehabilitation robotics has progressed. In the field of rehabilitation robotics, review articles \u201318 can pTo this end, this study focuses on the specific connotation of human factors goals, analyzes and composes the four human factors goals currently focused on research from the perspective of the system level and characteristics, explores the shortcomings of existing human factors goals and research contents and technical solutions in terms of research depth and breadth, and provides supplements and suggestions for further research contents. This study is crucial for further securing and improving the effect of stroke or postoperative rehabilitation treatment and enhancing the human-robot interaction experience. In the long run, this work can also improve the quality and overall level of rehabilitation medical equipment and help the development of rehabilitation equipment iterations.In this regard, this study has the following contributions in various aspects: (1) the research progress of robotic rehabilitation systems is analyzed from a brand new perspective, such as human factor engineering, and this is used as an innovation and entry point to analyze and sort out the four human factors objectives that are currently the focus of research. (2) The importance of human factor engineering in rehabilitation robotics research is clarified by highlighting the motivation and challenges of improving the adaptability and user experience of rehabilitation robots through human factor engineering research. (3) Suggestions are offered from the perspectives of the connotation categories of human factors goals and key technology solutions to provide a theoretical foundation and a direction for future study. (4) The results of various datasets and available sources are explained to support the classification of human factors goals, and tables are provided comprising all relevant datasets.This study is organized as follows. In order to address our research topic, we conducted a systematic review of the literature related to this topic, drawing on the methodology and process of Bal et al. In the study of , a literA systematic search was conducted to collect and summarize all research on human factor engineering in rehabilitation robotics as the research topic. We searched for the literature in three steps. First, databases, such as Web of Science, ScienceDirect, IEEE, EI, SCOPUS, and SpringerLink, were selected and searched, with the database time limit set from January 2011 to May 2022. These databases were systematically searched using Boolean algebra. Three columns of search terms were freely combined: the first and second columns were synonymous with rehabilitation robotics and human factor engineering, respectively. The third column of search terms is a paraphrase of the \u201chuman factor engineering\u201d connotation due to the broad scope of \u201chuman factor engineering.\u201d A total of 510 Boolean-configured search terms were composed and examined in each database. A complete view of the search terms can be found in The studies need to be empirical and examine the human factor engineering research component of rehabilitation-oriented robots. For this purpose, quantitative, qualitative, and mixed methods studies were considered.The research needs to involve research that enhances the human factors suitability of rehabilitation robots, such as safety, comfort, light weight, human-robot relationships, task allocation, the naturalness of human-robot interaction, and system performance evaluation. The research also needs to include technical solutions and measures.The research needs to be an academic paper. However, as the emerging field of human factor engineering research in rehabilitation robots is thus far in its infancy, we decided to expand the journal research to include book chapters and conference papers.Studies that met the following selection criteria were included in the review, and studies that failed to meet any of the following criteria were excluded:Following the initial screening, the subject staff critically assessed qualitative , quantitData extraction was carried out in two main ways. First, the essential characteristics of the final included studies were sorted to include the date of publication, the study's country, and the literature type. Correspondingly, the research design and data collection methods used in the selected studies were summarized, and information on the study participants was added to count the number of participants in the study. Second, under the human factor engineering connotations category, we report the human factor engineering research components involved in the studies reviewed, using specific human factors targets as the basis for classification.We found that in human factor engineering research on rehabilitation robots, the achievement of the same research goal maps to multiple dimensions of rehabilitation robot system design; similarly, the design of the same dimension of a rehabilitation robot system affects the achievement of multiple human factors embedded goals under the category of human factor engineering. To provide a clear and intuitive overview of the results of human factor engineering research on rehabilitation robots, the results of the data analysis have been reviewed using the former classification approach. This approach summarizes and integrates the current state of research on each human factors goal within the human factor engineering research scope of the selected studies in a multifactor and multimethod classification of one human factors goal.This study used the style of systematic reviews and meta-analyses guidelines illustrated in In addition, 10 studies were quantitative, 2 were qualitative, and 9 were based on mixed methods. All of these studies were experimental. 18 studies used actual experiments, basically choosing healthy people or rehabilitation patients with motor dysfunction as experimental subjects; 7 studies used virtual simulation in the form of experiments, of which 4 studies used a combination of both simulation and actual experiments and controls, while none of the more subjective research methods, such as questionnaires, were involved.We found that in human factor engineering research on rehabilitation robots, the achievement of the same research goal maps to multiple dimensions of rehabilitation robot system design; similarly, the design of the same dimension of the rehabilitation robot system affects the achievement of multiple human factors embedded goals under the category of human factor engineering. To provide a clear and intuitive overview of the results of human factor engineering research on rehabilitation robots, the results of the data analysis are reviewed using the former classification approach. This approach summarizes and integrates the current state of research on each human factors goal within the scope of human factor engineering research on rehabilitation robots in the selected studies in a multifactor and multimethod classification of one human factors goal.As a typical human-robot interaction device, safety design is a primary consideration. There are two central safety control schemes in everyday use today: an external control system scheme based on external monitoring and an internal control system scheme based on the robot's body design. Pan et al. designedThere is still room for weight reduction in the quality of existing rehabilitation robots, and portability and wearability need to be improved. In recent years, research has increased into reducing the structural weight of rehabilitation robots and enhancing wearer comfort.Using lightweight composite materials plays an active role in reducing the structural weight of rehabilitation robots and improving the wearing comfort. For example, using materials such as polyethene and polypropylene can significantly achieve lightweight designs for rehabilitation robots. One study reduced Weight reduction can also be achieved by simplifying complex structures and softening rigid structures. In addition, it has been found that using the principle of gravitational balance to balance some of the weight in terms of structural simplification makes the exoskeleton simple, lightweight, and well-followed, minimizing the physical footprint while maximizing mechanism isotropy and device functionality , 45. AnnThe rational weight distribution configuration, i.e., improving the drive layout and optimizing the drive method, can also achieve lightweight and comfort goals. Some studies have reduced the total weight by using a cord and pneumatic drives \u201349 whileFlexible exoskeleton robots can be said to combine all three of these aspects: eliminating the rigid frame of traditional exoskeletons, optimizing the actuation methods based on the use of lightweight materials \u201358, and A rehabilitation robot is a human-robot collaborative intelligence system with a human core. Good human-robot interaction performance includes flexibility, coordination, adaptivity, on-demand assistance, and pathological adaptability of rehabilitation movements, all of which are prerequisites for efficient human-robot collaboration. Many factors affect human-robot interaction performance, including human-robot interaction control, anthropomorphic structure, human-scale adaptability, motion planning, and many other aspects, mainly involving control systems, mechanical systems, software systems, and others.The suppleness of human-robot interaction is influenced by the interaction control, but it also focuses on three main aspects mapped on the drive mechanism, structure, and interface connection components of the rehabilitation robot . RegardiDrive mechanisms are essential for realizing flexibility, with the series elastomeric actuator (SEA) becoming the most popular drive option . The SEALi et al. proposedThe variation in the rehabilitation solutions required by different patients or the same patient at different stages of rehabilitation places a demand on adaptive on-demand assistance for robotic rehabilitation systems. Adaptive control strategies can provide many benefits for exoskeletons, as the controller can automatically adjust for the variability between each patient and the changing needs of individual patients. Adaptive control of rehabilitation exoskeletons is currently immature . Two stuThe coordination of rehabilitation movements is based on precisely recognizing the patient's movement intentions. EMG signal control is noninvasive, flexible, precise in the patient's movement intentions, and highly operable and safe. At present, the application of surface electromyography signals in rehabilitation robotics has been increasingly studied \u201387, suchEMG-based control methods can usually be divided into two types: neuro-fuzzy control methods based on EMG and muscle model-based EMG control methods, in which a matrix is associating the user's joint torque with a specific muscle is used to obtain the boost torque . For theEffective performance evaluation methods and indicators are the basis for optimizing the performance of human-machine equipment. A total of eight papers deal with performance evaluation studies, mainly focusing on ergonomic comfort, stability of muscle activity and movement, compatibility, fit, and other aspects of human-robot effectiveness performance evaluation.Safety is a critical evaluation index for human-robot interaction devices and is an essential prerequisite for transforming experimental results into clinical applications. The safety evaluation of rehabilitation robots aims to achieve safe interaction between patients and rehabilitation robots and currently focuses on the safety performance of the rehabilitation robot system itself during human-robot interaction. Wang et al. defined As a wearable device that acts directly on the surface of the human body, comfort is the critical performance of human-robot interaction. The comfort of rehabilitation robots is mainly evaluated in terms of their appearance, materials, operational comfort, and wear fatigue. The main methods for evaluating the comfort of rehabilitation robots are subjective evaluation and objective experimental methods, with subjective evaluation usually taking the form of questionnaires and objective evaluation mainly taking the form of pressure distribution and physiological electrical signal experiments.Two studies dealt with comfort evaluation. De Rossi et al. applied There is no unified index system for evaluating human-robot efficacy performance. Four studies evaluated the motion performance of rehabilitation robots, such as matching, compatibility, and stability, and one involved the evaluation of human-robot ergonomics. Zhang et al. and Di NIn this study, we conducted a systematic review of human factor engineering research on rehabilitation robots and classified the human factors research content from the perspective of human factors objectives. The research mainly focuses on human factors objectives and content, such as safety, weight and comfort, human-robot interaction, and performance evaluation of rehabilitation robots.Research on human factor engineering in rehabilitation robots has already achieved some milestones, which not only solves many drawbacks, such as low efficiency of rehabilitation by traditional rehabilitation methods but also achieves high efficiency, high precision, and personalized rehabilitation treatment to a certain extent. Therefore, applying human factor engineering in rehabilitation robots is a necessary technical means to achieve effective rehabilitation treatment in the future. However, some critical human factors issues regarding safety, lightness and comfort, human-robot interaction, and performance evaluation have not yet been carried out or require in-depth research. On the basis of an analysis of the aforementioned human factor engineering research for rehabilitation robots, it is proposed that safety protection mechanisms, individual difference compatibility mechanisms, human-robot interaction incentive mechanisms, and human-robot system evaluation indicators and systems can be further developed in future research.The safety design of the rehabilitation robot should include two levels: (1) the rehabilitation robot and the human being are in the same movement space to jointly complete the corresponding task, and it is necessary to prevent the robot from colliding with the human body to ensure the user's safety. (2) The safety of the rehabilitation training mode, intensity, and range of motion for the patient's current disease condition. In terms of safety protection mechanisms, most of the current safety research focuses on the internal control system designed by the rehabilitation robot itself, with little research involving the external control system between human and robot and a lack of safety assessment of the functional parameters of rehabilitation training for the patient's pathology.To achieve multiple protections for patient safety, future research should focus on two critical aspects of the rehabilitation robot: mechanism design (hardware) safety and control system (software) safety. Regarding robot hardware safety, limit blocks can be used for mechanical protection. At the same time, the mechanical structure design can fully avoid the invasive design of the robot to the human body by establishing the robot's kinematic model and analyzing the robot's reachable space. Regarding robot software safety, the stability of the existing closed-loop system for the interactive control of rehabilitation robots should be addressed with emphasis due to the dynamical uncertainty of the robot system and the fact that some action conflicts often occur during the physical human-robot interaction. At the same time, the damping response performance of the system should be improved.Although some studies have been conducted on adaptive aids and postural and motor adaptations, there is a lack of systematic and targeted research. The number of rehabilitation patients is growing annually, and the parameters of the rehabilitation programs vary greatly depending on the individual's posture, degree of motor impairment, pathology, and stage of rehabilitation. In response to individual differences in body shape and pathology, rehabilitation robots should be individualized in configuration, control systems, movement trajectories, training modes, and functional parameters. In this regard, further research should be conducted on the adaptive mechanism of individual and pathological differences, the adaptability and stability of the control system, the application of sensor technology, and the design of control algorithms so that the rehabilitation robot can sense the state information of the patient's force and position and adopt the corresponding training mode, control strategy, and matching training parameters. In addition, the flexibility of the structure should be considered, and modular designs can be utilised to make the structure and size of the rehabilitation robot adaptable to individual differences.Patients can interact with robots in a secure, pleasant, and natural environment if interaction control is effective. Impedance control and hybrid force/position control are the most common control mechanisms employed in the former case. In the latter, the most widely used strategies are myoelectric signal control and EEG signal control. The principles, advantages, and disadvantages of various interactive control methods are shown in . Among tIn addition to the HCI performance factors mentioned above, HCI strategies can also affect the HCI experience and rehabilitation outcomes. In the case of rehabilitated patients, the weak motor skills of the affected limbs and the lack of motivation to participate in a rigid, boring, and repetitive training paradigm will directly lead to poor rehabilitation efficiency and effectiveness. A robust incentive mechanism is a way forward for human-robot interaction in rehabilitation. Future research should combine rehabilitation robots with virtual reality (VR) technology to integrate task-oriented training paradigms. While exciting and diverse virtual scenarios can effectively increase patients' motivation for rehabilitation training, the immersive VR environment can also effectively stimulate mirror neurons in the motor cortex of the human brain and promote neural recovery.As a typical human-robot interaction system, the human factors evaluation of the rehabilitation robot only stays in the study of human comfort or the performance of the equipment from a single aspect in the human-robot system. It has not yet involved a comprehensive, systematic, and in-depth study of human-robot adaptability issues, such as safety and comfort, human-robot fit, pathological adaptability of movement patterns, and trajectories from the mapping matching relationship of human-robot characteristics and lacks perfect evaluation indexes and evaluation systems. Therefore, future research should effectively integrate psychological, subjective evaluation, and physiological human response parameters to achieve a comprehensive human-robot suitability evaluation of rehabilitation robots using geometrical and functional characteristics as direct inputs, which is essential for optimizing the overall performance of rehabilitation robots, developing more targeted training methods and maximizing human-robot matching.On the one hand, human factor engineering research for rehabilitation robots is cross-disciplinary research. In human factor engineering research for rehabilitation robots, there is a one-to-many cross-mapping relationship between human factors goals and rehabilitation robot system design. For example, the realization of the same human factors goal is mapped to multiple levels of rehabilitation robot system design, and the design of the same system level is also mapped to various human factors goals. Therefore, the categories of \u201chigh safety implementation,\u201d \u201clightweight and high comfort implementation,\u201d and \u201chigh human-robot interaction implementation\u201d in this study are based on the human factors goals and system levels. The contents of the three classifications will inevitably overlap. On the other hand, these classifications are derived from a series of processes, such as literature search, review, evaluation, and statistics, to arrive at high-frequency terms safety and control system (software) safety are small dimensional suggestions based on the general direction of \u201csound safety protection mechanism.\u201dThis review provides an exhaustive review of research advances in human factor engineering in rehabilitation robotics through a series of methodological processes, including literature search and screening, quality assessment, and data extraction. This study classifies existing human factors research in the context of the rehabilitation robotics field, using specific human factors goals as the classification criteria. Based on the four categories of human factors goals, the research progress in rehabilitation robotics is systematically sorted, and the benefits of the corresponding technical solutions for the practical use of rehabilitation robots are analyzed in detail. This systematic review focuses on the lack or inadequacy of current research in terms of the connotation categories of human factors goals, and suggestions are made for subsequent human factors research.The application of human factor engineering in rehabilitation robots can guarantee that rehabilitation robots can better replace rehabilitation therapists in providing patients with safe, comfortable, and efficient human-robot interaction training. Under the scope of human factor engineering connotation, this study innovatively provides information on human factors goals and technical solutions related to rehabilitation robots, emphasizing the benefits, challenges, goals, and recommendations for the application of human factors in rehabilitation robots, further improving the scope of human factors research on rehabilitation robots and helping to promote rehabilitation robots to maximize the \u201crobots fits human.\u201dFuture research should give full attention to the characteristics of human factor engineering in the development of rehabilitation robots and explore the solutions of sound safety protection mechanisms, human-robot interaction incentive mechanisms, individual difference adaptation mechanisms, and human-robot suitability evaluation systems from multiple perspectives, for example, from the dual dimensions of institutional design (hardware) safety and control system (software) safety. For example, the safety protection mechanism can be improved from both institutional design (hardware) safety and control system (software) safety. At the same time, through multidisciplinary collaboration and the combination of various research techniques, the hypotheses and solutions can be verified to enhance the safety, usability, ease of use, and inclusiveness of the rehabilitation robot as a new rehabilitation tool and instrument. This is important for developing a harmonious human-robot relationship, enhancing rehabilitated patients' motor function and quality of life, and assisting rehabilitation robots in gradually becoming practical, mature, and finally achieving large-scale application."}
+{"text": "Having a child with autism spectrum disorder can have significant psychological effects on parents. This systematic review summarizes the current state of literature underscoring the impact of autism spectrum disorder (ASD) on parents in Arab countriesA systematic search of seven databases was performed, which identified 24 studies that included 3,299 parents or caregivers of children with ASD. These studies were conducted in 10 Arab countries .The majority of the included studies found that ASD has a significant negative impact on the mental health and wellbeing of Arab parents. It was found that parents of children with ASD have a poor quality of life (QoL) and an increased risk of psychological disorders. These findings were in contrast to findings of parents of typically developing children and children with other developmental disorders. Challenges faced by parents of children with ASD were associated with several child- and parent-related factors. The most common coping strategy used by parents was religious coping.The impact of ASD on parents has only recently gained traction among researchers in Arab countries. Despite several knowledge gaps, published studies have provided useful information outlining the impact of ASD on parents in some of these countries. Further research comprising larger random samples and using varied research and data-collection methods is required to understand the multifaceted challenges experienced by parents raising children with ASD in Arab countries. Autism spectrum disorder (ASD) is a lifelong neurodevelopmental disorder that intersects racial, ethnic, and socioeconomic boundaries, and is characterized by persistent impairments in social interactions, verbal and non-verbal communication, as well as restricted and repetitive patterns of behavior, interest, or activities and the United Kingdom (UK) of the included articles. Disagreements among the authors were resolved through discussion. Finally, the information was analyzed to identify themes and gaps in the literature and to suggest implications for future research and practice.The authors developed a coding form to assist with the data extraction. The coding form comprised sections designed to obtain information regarding the author(s), publication year, country, purpose, methods, and key findings. Thereafter, the first author used this chart to extract data from the included articles. The second author independently extracted data for 29% (Twenty publications (84%) were quantitative studies, which were mostly cross-sectional, while four publications (16%) were qualitative studies. The samples used in eight of the studies included only mothers , the Depression, Anxiety and Stress Scale (DASS-21), the Perceived Stress Scale (PSS), the 36-Item Short Form Survey (SE-36), the Brief Version of the Coping Orientation to Problems Experienced Inventory (Brief -COPE), the Hospital Anxiety and Depression Scale (HADS), Oberst Caregiver Burden Scale time and difficulty subscales (OCBS-T and OCBS-D), Bakas Caregiving Outcome Scale (OCBS), Zarit Burden Interview (ZBI-12), Patient Health Questionnaire (PHQ)-9, Parenting Stress Index\u2014Short Form (PSI\u2014SF), Ways of Coping Checklist-Revised (WCC-R), Beck's Depression Inventory (BDI), the Standard Recall Short Form 36 (SF-36 v2), Family Stress and Coping Interview-Adapted Scale (FSCI-A), the Satisfaction with Life Scale (SWLS), Interpersonal Support Evaluation List (ISEL), General Health Questionnaire (GHQ-12), and the Positive Reappraisal Coping (PRC) Subscale of the Cognitive Emotion Regulation Questionnaire (CERQ).n = 16, 67%) were conducted between 2017 and 2021.The included studies were all published in the past 10 years and most of these studies (In total, 3,299 parents or caregivers, namely, 2,415 parents or caregivers of children with ASD and 884 controls, were included as participants in these studies. The total number of mothers and fathers of children with ASD was 813 and 327, respectively. Eleven studies comprising 1,275 parents or caregivers of children with ASD did not specify the gender of the parent and referred only to the term \u201cparents\u201d (Kheir et al., Data from studies included in this review revealed that parents raising children with ASD in Arab countries experience considerable stress and strain. Nine studies reported high levels of parental stress (Dababnah and Parish, In six studies, parents raising children with ASD were compared with parents raising children with other disabilities and children without any disabilities (Fido and Al Saad, Factors associated with psychological disorders and the burden experienced by parents of children with ASD were explored in some of the studies. These studies found that several factors were associated with the impact of ASD on parents, including the severity of ASD, social support, economic status, maternal education, financial hardship, marital status, parental age, and the gender of the child (Al-Kandari et al., Limited studies have investigated coping strategies used by parents raising children with ASD in Arab countries. Religious coping was the most common coping strategy found in some of these studies (Dababnah and Parish, Only two studies examined the psychological resilience of parents. Dababnah and Parish reportedThis systematic review was conducted to identify studies that addressed the impact of ASD on parents in Arab countries. The included studies were reviewed in terms of participants, general characteristics, methodology used, and the main findings. This review found that the impact of ASD on parents and caregivers has only recently gained traction among researchers in some Arab countries. Approximately 80% of the studies included in this review were conducted in Saudi Arabia, Jordan, Egypt, Kuwait, and Bahrain. Most of these studies used cross-sectional study designs and included non-random samples. Furthermore, the study participants of the included studies comprised more mothers than fathers. Moreover, most of the included studies did not distinguish between the different subtypes of ASD.The majority of studies found that ASD has a significant negative impact on the mental health and wellbeing of Arab parents. This finding is consistent with previous studies conducted in several countries, suggesting that parents of children with ASD experience significant levels of stress, depression, and anxiety (Loukisas and Papoudi, Studies exploring the factors associated with stress in parents and caregivers of children with ASD are limited in Arab countries. These factors include the severity of ASD, social support, economic status, maternal education, financial hardship, marital status, parental age, and the gender of the child. Overall, these results are consistent with literature indicating a relationship between the impact of ASD on parents and various characteristics among the child and extended family (Karst and Van Hecke, Furthermore, studies addressing the coping strategies used by parents raising children with ASD are even more limited in Arab countries. Although limited, these studies found that the most common coping strategy used by parents was religious coping followed by acceptance, positive reframing, withdrawal from the community, denial of the ASD diagnosis, increasing social interactions, and accessing information. Moreover, two studies found high levels of resilience in parents and caregivers. However, since the studies are limited, these results should be interpreted with caution. Moreover, most of the studies used self-report questionnaires and lacked a qualitative measurement. As a result, socially desirable responses may have been provided by the parents and caregivers, underscoring the limitations of the data collection methods used.The findings of this systematic review have several important implications for future research in Arab countries. Parents that have a child with ASD are severely impacted (Picardi et al., Furthermore, further research is required to underscore the difference in the experience of the burden associated with raising a child with ASD between mothers and fathers. While several studies have indicated that mothers of children with ASD suffer from increased levels of mental health challenges and burdens compared to fathers, some studies have yielded mixed results (Picardi et al., Moreover, the majority of the studies included in this review used small non-random samples based on a limited number of countries. Consequently, this limited the generalizability of the findings to all parents in the Arab region. Thus, future research including larger random samples is required.Several limitations should be considered when interpreting the findings of the current review. First, only studies published in English in peer-reviewed journals were included in this review. The researchers excluded literature published in the Arabic language due to the severe lack of Arabic electronic databases. Furthermore, conducting a comprehensive manual search would have been a formidable task (Alkhateeb and Alhadidi, This systematic review summarized the results of studies underscoring the impact of ASD on parents in Arab countries. Twenty-four studies met inclusion criteria and most of the included studies were quantitative studies that were conducted within the last 5 years in Saudi Arabia, Jordan, Egypt, Kuwait, and Bahrain. Furthermore, most of the identified studies found that ASD has a significant negative impact on the mental health and wellbeing of Arab parents. Moreover, significant gaps were found in the evidence base, including research on coping strategies and interventions aimed at reducing stress and burden among parents and caregivers. However, this review contributes valuable insights for future studies on parents of children with ASD in Arab countries.The original contributions presented in the study are included in the article/supplementary material, further inquiries can be directed to the corresponding author/s.JA conceptualized the manuscript and research questions, performed the initial article search, and reviewed all articles identified during the search. MH and WM participated in the acquisition of data, analysis, and manuscript drafting. All authors read and approved the final manuscript.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest.All claims expressed in this article are solely those of the authors and do not necessarily represent those of their affiliated organizations, or those of the publisher, the editors and the reviewers. Any product that may be evaluated in this article, or claim that may be made by its manufacturer, is not guaranteed or endorsed by the publisher."}
+{"text": "A relationship was found between the use of breast milk and infant formula milk and a decrease in the incidence and number of clinical complications caused by hypoxic-ischemic encephalopathy hypoxic-ischemic encephalopathy.To assess the efficacy and safety of breast milk and infant formula milk in terms of reducing of hypoxic-ischemic encephalopathy, the level of morbidity, the severity of damage to brain structures, the time before switching to full-fledged enteral nutrition and the frequency of detecting feeding intolerance in premature infants.Prospective observation of the development of 254 premature babies were treated up to six months of corrected age at the Department of Neurology of Early Growth in 2016-2018. The effect of breast milk and formula milk on neurological status was compared.In comparison, breast milk and formula milk didn\u2019t show any effect on the frequency of severe hypoxic-ischemic encephalopathy , the severity of brain damage. Breast milk showed a statistically significant effect in terms of reducing the average number before switching to full enteral nutrition .Breast milk and formula milk does not affect the frequency of development of hypoxic-ischemic encephalopathy, the severity of brain damage. Breast milk significantly reduces the frequency of feeding intolerance, accelerates the transition to enteral nutrition, reduces the duration of hospitalization in premature infants.No significant relationships."}
+{"text": "Multiple sclerosis (MS) is a chronic inflammatory, demyelinating, and neurodegenerative disease of the central nervous system. This condition is enhanced by stress. In turn, stress symptoms are a risk factor for the onset and progression of MS. However, knowledge about predictors of stress in patients with MS is scarce.This preliminary study aimed to verify whether the number of relapses, fatigue, physical disability (MS characteristics), experiential avoidance and self-judgment (emotion regulation processes) predict stress symptoms in patients diagnosed with MS.A convenience sample of 101 patients diagnosed with MS and without other neurological diseases participated in this study. Participants completed the Depression Scale of the Depression, Anxiety and Stress Scales-21, Analog Fatigue Scale, World Health Organization Disability Assessment Schedule-12, Acceptance and Action Questionnaire-II, and Self-Judgment Subscale of the Self-Compassion Scale.All predictors initially hypothesized and years of education have significant correlations with stress symptoms. Simple linear regression analyses showed that the variables significantly predicted stress symptoms and were, therefore, included in the multiple linear regression model. This model explained 51.8% of the variance of the stress symptoms and showed that years of education, the number of relapses, fatigue, and experiential avoidance significantly predicted those symptoms.The promotion of mental health mental in patients with MS must develop functional skills to deal with stress induced by years of education (possibly responsible for the degree of awareness about MS and its consequences), recurrence of relapses and fatigue, and should minimize emotion regulation strategies focused on experiential avoidance."}
+{"text": "Schizophrenia spectrum disorders are related with prolonged stay in hospital and high cost for treating them. As a consequence, the determination of the factors that affect the duration of hospitalization is essential.The purpose of the study is the determination of the psychosocial characteristics of inpatients in a public psychiatric hospital and their association with the duration of hospitalization.A total of 103 patients with a diagnosis of Schizophrenia (according to ICD-10) participated in the study. The socio demographic characteristics were recorded and the following psychometric tools were used: NEO- Five Factor Inventory, Connor-Davidson Resilience Scale (CD-RISC25), Multidimensional Scale of Perceived Social Support, Multidimensional Scale of Perceived Social Support (MSPSS), Positive and Negative Syndrome Scale (PANSS), Global Assessment of Functioning scale (GAF).All instruments were adapted to greek population. All statistical analysis was performed using SPSS v.25.The median length of hospital stay was 40,7 days. The number of previous admissions , the type of admission (compulsory or voluntary) , the physical restrain , the duration of restrain as well as the existence of social support networks and in particular social support from friends , seem to affect the duration of hospitalization.The present study underlines the signification of the psychosocial factors that could contribute to the prediction of longer hospitals stays, the planning of appropriate interventions and as a result the reduction of hospital costs."}
+{"text": "The fifth health sector directors\u00b4 policy and planning meeting for the World Health Organization (WHO) regional office for Africa convened to focus on building health system resilience during the COVID-19 pandemic to ensure continuity of essential health services, primary health care (PHC) revitalization, and health system strengthening towards achieving universal health coverage (UHC). In this paper, we present short summaries and experiences shared by 18 countries, for which their practices and outcomes have been documented in this manuscript. These actions are aligned with six key themes: (i) defining and making more essential health services available, (ii) increasing service coverage targeting hard to reach populations, (iii) financial risk protection, (iv) improving user satisfaction with services, (v) improving health security, and (vi) improving coverage with health-related sector services. It is through these shared country experiences that lessons are learned that can influence the region\u00b4s work and advancement to achieve UHC through a PHC approach. Universal health coverage (UHC) is central to the 2030 sustainable development agenda, and the employment of a comprehensive PHC approach is critical for its attainment. Looking to the heightened prominence of UHC, entailing \u201call people have access to the health services they need, when and where they need them, without financial hardship\u201d , COVID-1The influence of piecemeal initiatives remains limited to catapulting action towards attainment of UHC and other health related SDG targets . Such plCase study: country lessons sharedDefining, and making more essential health services availableBurundiPractice: Burundi held a national conference on primary health care revitalization on 16-18 September 2019 to take stock of the implementation of the country\u00b4s commitments related to PHC and the health-related SDGs.Outcomes: the government, in collaboration with its partners, made relevant recommendations with the establishment of a unit to monitor the implementation of these recommendations at the presidential level. These include: focusing on leadership and governance to improve intra, inter, and multi-sectoral coordination, international aid, develop a health in all policies strategy, and others; ensuring sustainable, quality, integrated and person-centred PHC that takes into account the needs of individuals, families, and communities in all policies is relevant; improving health human resources through strengthening training, ensuring equitable distribution of providers across the country, and ensuring the strengthening of mechanisms for the remuneration, motivation, and retention of specialized personnel; and ensuring individual and community empowerment through their participation at all stages of public health interventions, joining the UHC global compact 2030, establishing multi-stakeholder platforms to ensure heightened participation in regular policy dialogue, strengthen the performance of community health worker groups and other community-based associations, and others.CameroonPractice: established the UHC national technical group in 2015 and performance-based financing (PBF) was implemented to improve the coverage and quality of maternal and child health services by purchasing quantity and quality bonuses from health facilities. This has been ongoing since 2012 with 14 pilot demonstration sites in three regions and implemented in the 10 regions of the country. The focus has largely been on maternal and child health and adolescent health indicators , among other key country indicators. Interventions implemented included: signature of performance contracts; purchase of cover; quality control by higher level stakeholders; and common verification.Outcomes: performance-based financing found that it improved: maternal and child health vaccination rates (which are now over 17%), direct payment of radiology and laboratory fees , direct payment of illegal service fees , quality of services with respect to the technical platform, and the overall satisfaction of women (improving 8.6% points). However, no improvements were recorded for the quality of care in terms of technical and interpersonal quality.ComorosPractice: Comoros established a vision (2015-2024): \u201can efficient national health system that enables the entire population, particularly the most vulnerable and disadvantaged, to have access to quality health care, with the effective involvement of all public and private actors and stakeholders, in a spirit of solidarity, equality, equity and social justice\u201d. In alignment with this vision, various initiatives and steps have been carried out, including: assessing financial flows; joining the International Health Partnership; receiving the commitment of the head of state; adopting a law establishing health insurance; hosting a capacity-building workshop; undertaking a feasibility study; revising the national pharmaceutical policy; undertaking construction for a 600-bed university hospital centre; providing free services to those with HIV, TB, leprosy and malaria; providing services targeting maternal and neonatal health, children under five years of age, those with neglected tropical diseases, and those with non-communicable diseases; and many others.Current steps for improvement and/or ongoing challenges faced: despite the several actions taken, challenges remain, such as around: strengthening effective coordination and sectoral dialogue mechanisms; weak technical and institutional capacity of the national health information system; implementation of the legal and regulatory provisions of the new health code; development of the public-private partnership; weak mobilization of financing for the implementation of generalized health insurance; and implementation of a national community health strategy in alignment with the Astana declaration.Increasing service coverage targeting hard to reach populationsAlgeriaPractice: undertook a twinning study (instituted and regulated by the government) which sought to: provide care to patients in the southern regions and the highlands whose specialties and/or skills are in short supply; provide training to medical, paramedical, administrative and management staff on a cyclical basis; establish links and networks between institutions to organize the transfer of complex cases for their certified education program (CEP) at the pilot institution level; and avoid the displacement (travel) of patients to university cities, by having the teams move to these populations in these health structures which generally have the necessary equipment.Outcomes: the work resulted in numerous twinning agreements and developments, including: 109 public hospitals, 101 agreements signed, and 45 agreements in the process of being signed. As well, embraced a strong stakeholder communication strategy and drew commitment from the state with 100% matched funding. However, challenges remain around telemedicine and exchange programs which are increasingly developed in healthcare institutions to support remote local teams in helping patients with diagnosis or CEP and distance education for health professionalsSouth SudanPractice: South Sudan has implemented a community health strengthening strategy, the \u201cboma health strategy\u201d, which trained community health workers in over 55 counties deliver a package of health promotion, disease prevention, and selected curative maternal and child health services.Outcomes: numerous successes have been realized, such as increasing access and demand for health services in the community. Due to the availability of health services within the community, families no longer have to walk long distances to access health services at distant health facilities, nor are they financially impacted, as these services are provided free of charge. Additionally, available health services (including drugs) have improved demand for services, more community members have utilized health services, and drug consumption has increased. Service delivery has been regular with minimal disruption due to continued partner support. However, challenges remain around: the sustainability of free services ; limited ownership of the program by the community and local authority; quality of care ; need to adopt the patient safety strategy and associated development of guidelines and protocols; and select locations not yet fully implementing the service package.Republic of CongoPractice: establishment of the national health policy designed to improve equitable access of the population to packages of essential and quality services. For which the priority is to strengthen PHC, through the revitalization of the health districts to move towards UHC and achieve Sustainable Development Goal (SDG) 3 .Current steps for improvement and/or ongoing challenges faced: an evaluation of WHO support to the ministry of health in the 12 districts in 2020 is underway and will show the evolution of the 18 indicators selected in the monitoring and evaluation plan. However, to-date, 50% of cases of yaws have been detected and notified by the community relays. The indigenous population is concerned about prevention and protection against all forms of violence. To address this, since 2017, 200 indigenous community relays have been trained in order to improve the social demand for the use of health services. Further, health workers in health facilities are aware of the principle and importance of non-discrimination against indigenous people in public and private health care structures. While equitable access to quality essential care and services for vulnerable populations remains a challenge in the Republic of Congo, the country has embarked on a process of decentralization for the implementation of PHC to address this challenge.Financial risk protectionGhanaPractice: Ghana has worked towards achieving FRP through scaling up various interventions, including: electronic mobile phone renewal of national health information system membership, increased recruitment of community health nurses, improved claims reimbursement time, investment into health facilities at the primary level and nurses and midwives, supply chain management systems, and reforms .Outcomes: numerous successes have been realized in Ghana, such as: increased active membership in the insurance scheme (over 40.5% of the population), over 60% of beneficiaries in the scheme exempt from fees, improved health service utilization, over 90% of out-patient department services provided at the primary level , reduction in malaria fatality rate (from 0.51% in 2015 to 0.1% in 2019), and others. Additional successes have been realized in four key areas: physical access to essential health services, financial access to essential health services, demand for essential health services, and resilience of health systems.RwandaPractice: Rwanda\u00b4s efforts have focused on financial risk protection (FRP) and have accordingly introduced a Community-Based Health Insurance (CBHI) scheme to improve access to healthcare services and reduce significantly out-of-pocket expenditures, in particular, for the poor and most vulnerable. 90% of the population was covered by health insurance . Interventions that have been scaled up to facilitate improved FRP: insurance coverage for the informal sector through CBHI; moving from flat to stratified premiums according to socio-economic categories; fully subsidizing the poor and most vulnerable population in Ubudehe Category I; access to broadened benefit package over time ; reduced fragmentation of CBHI pooling risks from 31 pools to one single pool; and increased CBHI revenues for financial sustainability.Outcomes: efforts on FRP have resulted in successes in four key domains: physical access to essential health services through improved health worker density, effective referral system, task-shifting of select services at the community-level, establishing non-communicable disease clinics in hospitals and health centres, and ensuring one health post in every administrative cell to reduce travel time; financial access to essential health services though increasing the sources of revenue for CBHI to ensure sustainability, full subsidization of select populations, moving from flat to stratified premiums by socioeconomic status, and others; demand for essential health services has increased, as the utilization rate for CBHI beneficiaries has increased from 0.3 to 2.05 visits per capita (from 1997-99 to 2018/19); and quality of care through pursuing accreditation programs, digitalization of health services through scaling up electronic medical records, improving claim management, and enhancing the pharmaceutical supply chain.MauritaniaPractice: despite efforts to reduce the burden of current health expenditure on households in Mauritania, it remains at 52% of health expenditures as of 2017. Mauritania carried out specific interventions to address this. In 2020, a national program aimed at strengthening social security coverage and direct income for the most vulnerable families, financing: free resuscitation for all; a 55% reduction in the amount of the Obstetrical Package with the extension of the package to all the needs of pregnancy and postpartum and everywhere in public structures; free medical transportation during referrals and treatment of road accidents; and ongoing medical insurance for the poorest households on the social register.Current steps for improvement and/or ongoing challenges faced: a program to improve social supply and support demand was launched by the public authorities in 2020, and is investing more than $45 million over 30 months through nine health projects to help reduce financial and geographic barriers to access to health services for the poorest, accelerate progress towards UHC, regulate the sector, strengthen geographic coverage, and improve health system resilience. This financing should be sustainable after 30 months by being integrated into the public financing of the sector in order to make progress towards UHC. An additional budget line of 7.7 million dollars has been included in the 2020 finance law to reimburse health facilities for expenses incurred for this free service. The anticipated outcomes include: reducing the share of direct payments in current health spending; contributing to the reduction of the poverty rate; and faster progress toward UHC.Sierra LeonePractice: while about 60% of Sierra Leoneans live below the poverty line, over 60% (2018) of total health expenditure come from households (while the government contributes around 4% and donors account for about 36%). As such, Sierra Leone selected to address the high out-of-pocket payments at points of service delivery. Accordingly, the Social Health Insurance Law was passed in 2017 and was to be implemented as a prepayment health insurance scheme with the government providing the major source of funding.Current steps for improvement and/or ongoing challenges faced: various initiatives have been undertaken and are ongoing in Sierra Leone, including: completing the UHC Roadmap to be implemented through the National Health Strategic Plan, to make quality health care accessible to all, everywhere, and at all times; abolishing user fees for pregnant women, lactating mothers, children under five years of age, and Ebola victims under the Free Health Care Initiative; revisiting school health; engaging over 30,000 community health workers, especially in rural and challenged communities; increasing health human resources by 4,000 people (40%) and receiving approval for the recruitment of another 3,000; implementing mandatory social health insurance; engaging the community for partnership and ownership through the revised primary health care handbook; and continued commitment to the global quality of care network.Improving user satisfaction with servicesBurkina FasoPractice: Burkina Faso undertook an evaluation to assess response to needs with attention to select characteristics: dignity; autonomy; confidentiality; prompt decisions; access to social support services; quality of basic amenities; and the choice of health care providers. Based on the analysis carried out, Burkina Faso adopted a reform of its healthcare system based on quality management, the integrated person-centered care approach (ASICP), and patient safety. Specific interventions carried out included: National Strategy Combining Quality, Country Policy and Institutional Assessment (CPIAA), and patient safety; ASICP tools; Regulatory Quality Charter; quality reference; certification/accreditation; community watch; management of adverse care events; traditional medicine interface; and community health.Outcomes: the implementation of these approaches has improved access and demand through free health care, universal health insurance, taking into account the needs of users, the involvement of other profiles in health care , and the involvement of the population in self-management . Health care channels and networks have been created and strengthened. It also made it possible to strengthen the resilience of the health system for continuity of care in insecure areas and in the context of COVID-19. However, Burkina Faso experiences difficulties with the inclusion of people-centered care indicators in the reporting of the national information system.EswatiniPractice: following various client satisfaction surveys, a client satisfaction and feedback mechanism (CSFM) was developed and deployed in 2019 in all health facilities across the country to strengthen capacity of health managers to manage client feedback. It consists of questions in multiple choice form and responses are used by healthcare workers to improve the quality of the healthcare service provision. Between 4th February and 31st August 2020, a total number of 12,677 respondents/customers have given feedback. Outcomes: the CSFM has resulted in numerous outputs, including: customers satisfied with service provision (ranging from 85 to 90% between February to August), availability of drugs (ranging from 64 to 76% in this same period), average waiting time , cleanliness in the health facility (majority of respondents indicating very good and good), and attitude of health care workers (majority of respondents indicating very good). However, some challenges remain, such as some clients who are reluctant to share mobile numbers, no offline version in case of power/network interruptions, need to fund the CSFM through government, insufficient feedback mechanism to the client that submitted the issue of concern, and inadequate practice of \u201cclient first\u201d culture in entire continuum of health care.GabonPractice: Gabon undertook an assessment of user satisfaction levels to identify areas of dissatisfaction, in order to improve health system performance. The evaluation of the service's response to needs involves the following characteristics: dignity, autonomy, confidentiality, prompt decisions, access to social support services, quality of basic amenities, and the choice of health care providers. Gabon elected to focus on the reception of patients in health facilities, as users raised concerns about the quality of basic amenities, confidentiality, and wait times.Outcomes: the Ministry of Health has therefore initiated several reflections to improve the quality and supply of care. As such, numerous interventions were introduced, including: adopting a law that considers the rights of patients, dissemination of this charter to all health facilities, creating centralized services to receive patients, establishing mobile screening units in all health regions, mass awareness campaigns, and others. This required investments made to improving essential health services through access, demand, resilience, and quality of care. Improvements measured included: mass awareness campaigns for several years during the month of October for female cancers has enabled the population to adopt more responsible habits for monitoring their health ; the realization of CAP and socio-anthropological studies on cancer and other pathologies has led to a better understanding of the determinants of the population's demand for care; mobile screening units considerably improved the geographical accessibility of patient care ; and others.ZimbabwePractice: Zimbabwe implemented the first generation of RBF which was aligned with and supportive of the National Health Strategy of 2010-13 by design. This included: user fee removal to improve access and utilization of health services; rebuilding basic standards of health services delivery-capital investment in facilities; strengthening the referral system from primary to secondary; and a strong thrust towards PHC. The RBF was piloted in two front runner districts (Zvishavane and Marondera). After evaluation, it was scaled-up initially to 18 districts in 2012 and all additional 42 districts.Current steps for improvement and/or ongoing challenges faced: the RBF has resulted in: enhanced capacity to accurately report and utilize data, decentralized planning and investments of subsidy earnings for performance improvement at facility and district levels, significant improvements in coverage of maternal and child health indicators , significant improvement in the quality of select antenatal care services, and notable improvements in uptake of vouchers in past quarters. However, not all indicators show relative improvement under RBF. In the future, additional attention should be afforded to: careful selection of indicators to maximize efficiency in spending, revisiting how quality of care is measured and incentivized under RBF, combine RBF with complementary investments in quality improvement, and involve community health workers through a package of indicators and enhance demand through various initiatives.Improving health securityLesothoPractice: the main health security issue/policy problem Lesotho faced amidst COVID-19 was rising co-morbidities and excess mortalities from communicable and non-communicable diseases. This included the: inadequate integration of health system strengthening and health security efforts; inadequate coordination of efforts between ministry of health and partners; low level of community awareness and engagement; and weak information systems.Outcomes: to combat this, Lesotho scaled up interventions to facilitate the protection of populations from health risks and vaccines). This work was due to successes with multi-stakeholder collaboration , which led to enhancing health security and better targeting susceptible populations.GuineaPractice: Guinea drew on experiences from the Ebola epidemic to make necessary investments to strengthen their health system. Some of these investments include: developing strategic frameworks, plans, and policies; setting up a coordination framework; strengthening community health; significantly increasing the number of health structures; increasing health human resources at the health and community structure level; increasing the health care budget; modernizing the National Health Information System; and strengthening the supply chain and system for health products.Current steps for improvement and/or ongoing challenges faced: strengthening the health system has increased access, demand creation, resilience, and quality of care. However, challenges remain around maintaining the quality of health care and services and early recovery through state ownership.Democratic Republic of the Congo (DRC)Practice: established a strategic framework and undertook a review of essential health services, including: vaccination, maternal and child health, HIV/AIDS, bed net usage, and tuberculosis.Outcomes: determined various successes, including: vaccination coverage is greater than 80% (as of early May 2020), more pregnant women received prenatal care from a trained health professional (88% in 2013 compared to 80% in 2007), childbirth assisted by a health personnel (80% in 2013 compared to 64% in 2007), households had and used impregnated mosquito nets (9% of households in 2007 compared to 70% in 2013), and decreased deaths due to malaria . Challenges remain around: health financial resources are limited and efficient use needs to be improved; frequent and health emergencies related to Ebola virus and the COVID-19 pandemic tend to inhibit progress and the ongoing work and interventions being undertaken to reach UHC; the persistent insecurity in various regions; and health in all policies, as health interventions and progress are dependent on other sectors.SenegalPractice: Senegal incorporated the Primary Health Care Performance Initiative approach , adjusted their targets based on these various ODD as well as their strategic plan, and established a multi-sectorial compliance plan in the response to the COVID-19 pandemic to ensure continuity of health services .Outcomes: the ministry of health and advocacy began improving the quality of healthcare services through various experiences at hospitals and health centers (centres de sant\u00e9 and the laboratories). This initiative is designed to assist and help develop an environment in which health system\u00b4s actors will know what to do in order to provide quality health care, have the competence to do so and that they stay engage with available resources. These numerous initiatives, policies and actions resulted in better health indicator outcomes, including a decrease in maternal mortality and infant mortality . The ministry of health and advocacy will continue to improve PHC performance through developing more community approaches, multidisciplinary strategies, and using health information.Cross-country experience sharing opportunities provide an opportunity for peer learning, experience sharing and assessment of the direction of systems development amongst countries of the region. It aims to build a common understanding, and knowledge on taking forward the UHC agenda in the region. Across the three six themes highlighted, it has emerged clearly that countries in the region are making progress towards attainment of these goals of improved health security; defining, and making more essential health services available; increasing service coverage targeting hard to reach populations; improving financial risk protection; and improving user satisfaction with services. Against the background of a rapidly changing context of health, driven by the COVID-19 pandemic, countries have all faced significant and un-anticipated challenge to their health system capacities. Together with this, the Astana Declaration on Primary Health Care and the adoption of the SDG 3 Global Action Plan all call for a re-think of the design, focus and monitoring of health systems development in the WHO Region for Africa. The experiences shared have demonstrated that countries are actively rethinking policies and actions to re-align with the current needs of their health sectors to make them fit for purpose in the current and future health environment and in regard of the overall 2030 agenda. Beyond these experiences sharing sessions, WHO AFRO continues to provide technical support to countries in health systems strengthening, through the UHC flagship program, and implementation of the regional framework for primary health care operationalization. One key aspect of this support, particularly in the context of the COIVID-19 pandemic, is the support for strengthening health systems to ensure continuity of essential health services. Tools including health facility assessments for readiness and service capacity have been implemented across the region, as well as support for embedding measures for assessing health service resilience in routine health information systems.The country experiences shared here provide evidence of the importance of lessons sharing to galvanize action and improve knowledge of ongoing work towards the 2030 agenda. Through such platforms, south-south collaboration across countries can be strengthened. While these interventions are not completely exhaustive, this paper has been designed to pull together high-level actions and lessons for policy consideration. Having these ideas presented through the experiences of countries in the African Region, action is within grasp to achieve UHC through PHC."}
+{"text": "Oil is the mainstay revenue for a number of African countries. However, extraction can result in multiple impacts on the health and wellbeing of communities living in oil-rich areas. This review explored evidence of oil industry-related social exclusion on community health and wellbeing on the African continent.We used a systematic approach guided by PRISMA to search six databases for empirical and descriptive sources focused on oil industry impacts, in any African country, between 1960 to 2021. Findings were grouped according to four dimensions of the Social Exclusion Knowledge Network (SEKN) framework: political, social, economic, and cultural.Fifteen articles were identified, of which 13 articles focused on Nigeria; while one focused on Sudan, and one on C\u00f4te d'Ivoire and South Africa. Evidence relating to political aspects of social exclusion encompassed marginalization of indigenous communities through land grabs and unequal representation in political decision making. Limited compensation for environmental damage and livelihood displacement caused by oil-extraction, and high rates of unemployment and poverty were key themes of the economic dimension. Evidence of social impacts included lack of government, or oil-industry investment in social infrastructure; poor health and wellbeing linked to land, air, and water pollution; homelessness and lack of social cohesion. The cultural dimension of social exclusion was comparatively underexplored and only six sources included data collection with indigenous residents, and comparatively more sources were written by non-citizens or non-residents of oil-industry affected areas. Major themes included impacts on collective identity, ways of life and values, particularly where loss of ownership or access to land was experienced.Oil industry activities in African countries are clearly associated with multiple exclusionary impacts. However, the narrow body of empirical research limits understanding of the lived experiences and management of social exclusion by residents of oil-rich areas themselves and is an area deserving of further attention. Oil is among the most impactful of the various extractive industries globally and in Africa. In 2020, 10 African countries were identified as being the top oil producers despite of Nigeria over the past 30 years shows that four million barrels of oil spilled between 1991 and 2011 and a further 12,381 spilled between 2011 and 2019 . AlongsiResource extraction activities degrade the environment, reducing residents' ability to farm, fish and live in an unharmed environment , 17. Lossocial exclusion methodology and was guided by the six steps of the Arksey and O'Malley Framework for conducting a scoping review. This systematic process included identifying research questions, identifying, and selecting all relevant studies, charting the relevant data, collating, summarizing, and reporting the results . This apSix electronic databases were searched for both peer-reviewed papers and gray literature: Scopus, Psyinfo, Pubmed, Medline, Proquest platform and Web of Science. In consultation with a university librarian, search terms were refined, and a search strategy devised that included four rows of search terms focusing on \u201coil industry\u201d and like terms; African countries; \u201csocial exclusion\u201d and like terms, and \u201ccommunity wellbeing\u201d and like terms . Following title and abstract review and application of inclusion and exclusion criteria, 51 full text articles were assessed, and 8 studies met the inclusion criteria. Following manual scanning of reference list seven additional records were identified. A total of 15 records are included in the final review.The identification and screening process is summarized in n = 6) were read in full by the first author; theses and dissertations were evaluated, and specific chapters selected and read based on their relevance to the review topic. Categorization of data in each dimension was initially based on examples of previous applications of the SEKN framework and iteratively adapted in consultation with co-authors as data extraction progressed. Natural overlap in some areas of impact were discussed and assigned based on consensus. The details of each of the 15 selected studies are summarized in All works, except for theses and dissertations in Nigeria or elsewhere in Africa between 1960 and 2004.Of the articles identified, 13 of the total of 15 focused on Nigeria , 38, 40 n = 10 of 15) discussed political aspects; more than half the sources also mentioned discussed economic dimensions (n = 11) and social dimensions (n = 9) while comparatively fewer sources identified cultural dimensions of social exclusion (n = 6).Nine studies used qualitative methods , 36\u201339 tn = 8) and published peer reviewed papers (n = 3). Nine of the empirical works used qualitative methods and two used mixed methods. Most empirical works (n = 10) were focused on Nigeria . Empirical works included theses and dissertations were focused on Nigeria and published peer reviewed papers (n = 3). Three of the empirical works used mixed methods and six used qualitative methods. Most of the empirical works (n = 8) focused on Nigeria include lack of basic social infrastructure reduces communities' ability to engage in traditional social activities such as team fishing and family farming , 32, 33.n = 3) and published peer reviewed papers (n = 3). Four of the empirical works used qualitative methods and two used mixed methods. Most of the empirical works focused on Nigeria framework to explore oil industry social exclusion in Africa.Although the empirical literature identified was not as extensive as expected, sources identified clearly pointed to significant social, economic, political and cultural social exclusion impacts of the oil industry in African countries, but Nigeria in particular. Most of the empirical literature in this review (13 of 15 sources) focused on Nigeria and the Niger Delta Region with one additional source focused on multiple countries including Nigeria. This reflects, in part, the longer history of oil-related industry activities in that country as well as the attention that local conflict over oil industry presence has garnered in recent years. Indeed, at the screening stage of this review we found many articles focused on describing oil-related civil conflict and violence in the Niger Delta region . ConcernOverall, the review highlighted multiple aspects of political, economic, social and cultural exclusion that interact and influence each other to the detriment of local communities. For example, in the political dimension, articles reported how political marginalization and unequal representation of community interests in the Niger Delta region, interacted with unequal wealth sharing and loss of livelihoods in the economic dimension to exacerbate the exclusion of local communities , 34, 39.cultural aspects of social exclusion, which were comparatively under-explored in the sources identified in this study . The review also highlights a need to conduct research that promotes a better understanding the links between cultural aspects of social exclusion and political, social and economic marginalization and of the different types of responses of residents to these experiences of social exclusion.Notwithstanding the evidence of political, social and economic forms of social exclusion, this review revealed that there is still limited empirical work on the topic of social exclusion given the long history of oil extraction on the continent, and in particular, limited research that centers the lived experiences of residents or communities in oil-rich regions. A range of non-empirical sources not included in the formal review , 43\u201345 mThis review was conducted using thorough and systematic search approach with assistance from a research librarian. Deliberately inclusive date ranges were adopted to try to ensure all potentially relevant literature dating back to the inception of oil-industry activity in Africa was capture. Nonetheless, our primary reliance on academic data bases and restriction to English language sources means it is possible that some studies may not have been identified which could have added further depth of understanding to the topic being explored. Another limitation was the exclusion of literature specifically focused on oil conflict which prevented deeper reflection on the role of oil conflicts themselves on social exclusion and its implications. Furthermore, because of the extensive nature of gray literature, our gray literature search was necessarily targeted, and important sources kept in local repositories that the authors were unaware of may have been missed.Oil industry activities in African countries are clearly associated with multiple exclusionary impacts. This review provides evidence of how oil industry activities affect the political, social, economic, and cultural lives of oil communities' residents in Africa and impact on health and wellbeing. Exploring the perception of the residents toward oil industry-related social exclusion on political, social, economic, and cultural aspect of their lives would enhance the understanding of the impacts of social exclusion on the health and wellbeing of oil communities and thus, help to inform effective policies toward improving inclusion in oil communities in Africa. However, the narrow body of empirical research limits understanding of the lived experiences and management of social exclusion by residents of oil-rich areas themselves and is an area deserving of further attention.The original contributions presented in the study are included in the article/AN, ST, and WL: conceptualized the study. AN: wrote first draft, data search, and extraction. AN, ST, and SD: data analysis. AN, SD, ST, and DO: critical edits. All authors approved final version.This study was conducted with support of a James Cook University Postgraduate Research Scholarship to (AN) and the College of Public Health, Medical and Veterinary Sciences (CPHMVS) Higher Degree by Research Enhancement Scheme (HDRES) Publication Grant.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest.All claims expressed in this article are solely those of the authors and do not necessarily represent those of their affiliated organizations, or those of the publisher, the editors and the reviewers. Any product that may be evaluated in this article, or claim that may be made by its manufacturer, is not guaranteed or endorsed by the publisher."}
+{"text": "Falls are the leading preventable cause of death and disability in older adulthood. Subjective experiences of aging could facilitate fall prevention and adaptation to post-falls life. We use data from the 2008-2018 waves of the Health and Retirement Study to follow self-perceptions of aging (SPA), health-domain control (HDC), and physical activity (PA) in 12,000+ adults to examine trajectories of subjective experiences and health behaviors preceding and following a fall. In total, 57% experienced falling. Both SPA and HDC were lower among fallers. Spline growth models showed that HDC, SPA, and PA significantly decreased over time. Additionally, the rate of decline in HDC and PA increased following the fall. After falling, the protective effect of HDC amplified, while positive SPA dampened change in PA. Our study illustrates the importance of subjective experiences of aging on adaptation and recovery in the context of falling."}
+{"text": "The achievements made by scientists in the fast-growing field of COVID-19 have been exceptional over the last 2 years, leading to major advancements in understanding and managing the new disease, but also transforming the fields of infectious diseases and public health in general. Following the SARS-CoV-2 outbreak and subsequent pandemic, the multi-disciplinary work of researchers worldwide has provided an in depth understanding of COVID-19 pathogenesis, of clinical treatments and outcomes, of models and dynamics governing disease spread, period of infectivity and containment interventions. Immunological research focused on the understanding of acquired immunity, and development of innovative vaccines and effective vaccination schemes, which have greatly improved disease outcomes across the globe. The required rapid processing and dissemination of scientific information would not have been possible if not for the special focus and attention given by scientific journals such as Frontiers in Public Health and Frontiers in Medicine.Following on from the success of the first Frontiers COVID-19 Research Topic, featuring 400 original research articles , a dedicTo provide a backdrop, at the time of the launch of this Research Topic in June 2021, the first wave of the rollout of population-wide SARS-CoV-2 vaccinations with two doses was nearing completion in most European countries, while a severe lack of vaccine availability was still recorded for resource-restricted settings. Following the vaccination successes in Europe and North America a gradual relaxation of public health restrictions was afforded while many countries worldwide were preparing for resurgences. In total, 176 manuscripts were submitted, 83 (47%) of which were accepted. As of August 2022, the special topic achieved approximately 255,000 views and 31,000 article downloads, with readership distributed across the globe. Frontiers made a significant contribution to the timely generation and distribution of peer-reviewed COVID-19 publications as the publisher of this special topic, as well as many other related topics. At the time of writing, the top five most viewed Research Topics on COVID-19 published in Frontiers in Medicine and Frontiers in Public Health , followed by Clinical Management (19), Epidemiology (14). Pathophysiology (12) and Screening Methods (12). The accepted submissions comprised of Original Research (50), Brief Research Report (11), Reviews (8), Opinion (5), Case Report (4), Methods (2), Community Case Study (1), Hypothesis and Theory (1) and Perspective (1).Lu et al.), the Czech Republic , Germany , Portugal , Romania , Saudi Arabia and the USA . Awareness about the virus transmission within public education settings and protective practices were also examined in the studies by Lordan et al., Middleton et al., Sombetzki et al., and Qin et al., as well as within areas of precarious housing conditions by Zimmermann et al..The understanding and comparison of public health responses has been vital in the design and quick adaptation of effective mitigation strategies. A number of manuscripts shared details of investigations of SARS-CoV-2 transmission patterns and non-pharmaceutical control interventions implemented in defined geographies, such as China . Some of these early data was summarized by the systematic review of Norhayati et al. The perspectives and responses of different communities toward COVID-19 were considered, such as pharmacists being both vaccinated and vaccinators ; of patient groups being vaccinated ; as well of wider communities within specific geographical areas . Related to the safety of vaccination programs and providing a holistic view of the subject within this special topic, were also the studies describing vaccine reactions in the USA, EU (Montano) and China . Finally, the protective properties of breast milk for infants from COVID-19 were outlined in the Hypothesis and Theory study by Quitadamo et al..As population-wide vaccination programs were implemented across the world, a number of studies emerged considering the overall COVID-19 vaccination acceptance, providing survey-based quantitative estimates and pancreatitis . Various approaches to assessing prognostic factors and indicators were reported. Enocsson et al. looked at soluble urokinase Plasminogen Activator Receptor (suPAR) as a specific prognostic biomediator. On the other hand, Ranard et al., looked at a wider set of indicators reporting different patient endotypes that might be prognostic for COVID-19. One study by Kurban et al., provided examples of simple triage tools that can be used to predict severe disease.The topic of COVID-19 was approached from a clinical management perspective as well, with Masi\u00e1 et al.); the effect of tocilizumab monotherapy on biomediators ; the infusion of umbilical cord mesenchymal stromal cells ; the use of A2 adrenergic receptor agonist ; as well as the case report of blood purification for 5 severely ill patients . Regarding the prevention of symptoms or at least the reduction of symptom severity, studies looked into the supplementation with vitamin D and zinc (Hardigan and Gordon). The breadth of topics covered demonstrate the multitude of approaches still being considered in the effort to improve the current standard of care for COVID-19, as well as indicating the many clinical specialties involved in those investigations. This aspect of plurality in COVID-19 treatments was captured well in the meta-analysis of randomized control trials by Zhang et al., while W\u00fcstner et al., looked into the clinical evidence informing treatment guidelines, specifically on repurposed drugs for hospitalized patients during the early waves of the COVID-19 pandemic, including for corticosteroids, anticoagulants and other.Among the articles with a primary focus of clinical management, another main area of interest was the evaluation of various new or concomitant therapies with respect to benefits for COVID-19 progression and outcome. Treatments evaluated included the addition of baricitinib to standard care and specifically, as they relate to chronic fatigue syndrome . Frontiers journals have initiated distinct special topics on COVID-19 sequelae, especially on emotional/mental health and post COVID syndrome assessment , the Ecuadorean army , the Colombian army , South Korea , China , as well as the incidence in cannabis users . In order to complement the picture on symptomatic case identification, Syangtan et al. focused their systematic review on investigating asymptomatic cases. Finally, the study by Yadav et al. described an outbreak of Nipah virus concurrent to COVID-19 in India, reminding that COVID-19 is cumulative to existing pathogen pressures in many countries.Of the articles primarily focused on Epidemiology, disease surveillance remained an area of focus in order to elucidate the geographical, demographic and behavioral distribution of confirmed cases at specific time points (or over time). As such, there were studies regarding COVID-19 epidemiologic patterns in Burkina Faso , Morfeld et al. provided an estimate of the excess mortality attributable to acute COVID-19 and highlighted limitations of routine demographic surveillance systems. The goal of these investigations was to achieve a better understanding of the individuals/groups with increased risk, and thus, prioritizing any public health interventions to decrease the transmission risk to susceptible populations.Accurate disease surveillance remains a cornerstone for healthcare systems for the timely implementation of public health measures as warranted, and for resource and treatment planning relative to available service capacity. Thus, a clear area of interest remained the modeling and testing of prediction models that might be implemented in subsequent waves of the pandemic. These included work by Chua et al.), at schools , at healthcare facilities . As with any diagnostics, a greater than acceptable threshold of false-positive or false-negative outcome, can cause considerable damage both at individual and public health levels. Therefore, a number of studies focused on the evaluation of the individual performance of such test and/or methodologies . The investigation of saliva as a suitable detection fluid was discussed by Pierri et al.; while the implementation of ELISA-based seroprevalence for the understanding of asymptomatic transmission levels was considered by the studies of Sherman et al., and Breedon et al..Asymptomatic and pre-symptomatic transmission of SARS-CoV-2 has introduced a greater degree of difficulty and uncertainty for monitoring the spread of the infection into new clusters. Thus, population-wide or high-risk group screening policies have been implemented at various scales in many countries. The studies included in this special topic describe the implementation of such screening policies at national borders (Hayes et al. provided a scoping review of over 100 persistent symptoms of long COVID-19; while the study by Cheng et al. described a text clustering method to identify symptom clustering. The systematic review by Sodeifian et al. looked into the drug-induced liver injury in COVID-19 patients; and Zhang et al. investigated liver fibrosis scores and clinical outcomes in COVID-19 patients. There were two Opinion papers in this special topic, one by Kozlakidis, considering the relative lack of evidence of genomic recombination for SARS-CoV-2; and another by Dubina, considering a potential non-immune prophylaxis against COVID-19 by targeting tolerance for Angiotensin II.Understanding the pathophysiology of COVID-19 and its many clinical manifestations is crucial in dealing with the severe forms of the disease, identifying individuals with increased risk, and taking timely action toward development and/or implementation of appropriate treatments. Teshome et al. investigated the impact of vitamin D on COVID-19 infection; while Chen et al. investigated the relationship between plasma vitamin C and COVID-19 susceptibility and severity. The investigation of such relationships allows the deeper understanding of molecular mechanisms and their link to clinical outcomes. The relationship between platelet count and COVID-19 mortality was investigated by Yang et al.; while another relationship, between cellular and humoral immune responses after two doses of vaccination were studied by Mangia et al. The brief research report by Jimah et al. focused on the monitoring of COVID-19 positive pregnant women. Finally, Holm-Jacobsen et al. investigated the clinical implications of rectal SARS-CoV-2 shedding in Danish patients.The link between vitamin intake and COVID-19 clinical outcomes remains a focal point of research. To this end the systematic review by As the COVID-19 pandemic continues and as the SARS-CoV-2 virus continues to evolve and produce a greater number of variants, it is likely that the case numbers and hospital admissions will persist their fluctuations globally. Thus, it is not surprising that epidemiological studies continue to feature strongly in the published scientific literature as understanding of the changing dynamics of COVID-19 remains a public health priority. To this end, the greater emphasis on public perceptions, attitudes and behaviors is a welcome development, further strengthening public health responses and gradually involving an active participation of \u201ccitizen scientists\u201d as advocated previously .Building on understanding the pathophysiology and epidemiology of the disease, the development of efficacious vaccines and treatments have made a clear difference in addressing severe forms of the disease and mitigating its public health impact. More contagious and/or virulent variants of the virus that are able to evade acquired immunity may continuously emerge, and their widespread dissemination is of concern in the near future. Novel and/or improved virus screening methods, therapeutics and vaccines are likely to remain key tools toward pandemic mitigation. The cumulative burden of \u201clong COVID\u201d sequelae as well as psychological/psychiatric impact of the disease and its control measures are crucial topics to study for guiding long term medical and public health management. Therefore, concerted research efforts on current topics remain a crucial part of the continued fight against COVID-19.ZK compiled/wrote the first draft. MS contributed to the outline. Both authors reviewed and edited for final revisions. All authors approved the final version for publication.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest.All claims expressed in this article are solely those of the authors and do not necessarily represent those of their affiliated organizations, or those of the publisher, the editors and the reviewers. Any product that may be evaluated in this article, or claim that may be made by its manufacturer, is not guaranteed or endorsed by the publisher."}
+{"text": "The process of recovery of mental reactions in children after acute traumatic brain injury is determined by complex methods with an interdisciplinary approach. Studies of emotional, communicative and behavioral reactions are based on an assessment by a psychiatrist and a teacher-defectologist.To study mental reactions and identify predictors of positive recovery of consciousness after acute brain injury in children in early rehabilitation.48 children (14\u201336 months) with acute severe traumatic brain injury who were admitted for treatment and rehabilitation (in CRIEPST). Methods: psychiatric and pedagogical examinations; also - neuroimaging data and others.Three groups of children were identified, depending on the different severity of emotional, communicative and behavioral indicators: Group 1 (11%): The level of consciousness is minimal positive. Reactions: stable gaze fixation; emotional reaction to sound (smile) and the face of an adult; short-term tracking of the gaze of the object; the ability to touch an object and hold it; sits himself. Group 2 (33%): The level of consciousness is minimal positive / negative, with an advantage of positive. Reactions: unstable gaze fixation; emotional reaction and involuntary movements to sound; reflex seizure of an object; sits with support. Group 3 (56%): The level of consciousness is minimal negative. Reactions: no emotional reactions, low motor and sensorimotor activity.Predictors of emotional-communicative and behavioral indicators of recovery of the level of consciousness were identified: sensory and motor, cognitive and socially-oriented. These predictors are the basis for choosing a rehabilitation program with interdisciplinary support and a treatment strategy."}
+{"text": "Dear Editor,Since the beginning of the new coronavirus SARS-CoV-2) pandemic, several cases of extrapulmonary involvement have been reported, including cardiovascular, gastrointestinal, neurological, and cutaneous manifestations. A wide variety of dermatological conditions related to COVID-19 infection have been reported; pandemic4A 56-year-old male patient complained of pruritic lesions that appeared on his lower limbs six months before. He mentioned that the lesions appeared approximately one week after the onset of COVID-19 infection symptoms, which was confirmed by RT-PCR. The patient had a mild respiratory clinical picture, without the need for hospitalization, and used ivermectin and hydroxychloroquine, prescribed at the service where he was originally treated. After the rash appeared, he used oral fluconazole and topical ketoconazole, with no improvement. The patient had a history of HIV infection, with an undetectable viral load for several years, without other comorbidities and with negative serology for syphilis, hepatitis B, and hepatitis C. He was undergoing regular treatment with lamivudine (3TC), tenofovir disoproxil fumarate (TDF) and dolutegravir (DTG), without recent changes in medications.On dermatological examination, the lesions were clinically and dermoscopically compatible with LP . He had Lichen planus is an immune-mediated dermatosis of unknown cause, which affects less than 1% of the population, mainly middle-aged adults, and may affect the skin, hair, nails, and mucous membranes.4A possible association between HIV infection and LP has already been reported. In the present case, we consider that the LP was triggered by the COVID-19 infection, since the patient had been diagnosed with HIV 24 years before, without changes in the medications of chronic use, with the appearance of lichenoid lesions timely associated with COVID-19. SARS-CoV-2 infection can stimulate cytotoxicity by TCD8+ lymphocytes and Th17 cells, changes that also participate in the pathogenesis of LP, and this can persist even after the resolution of the triggering viral infection.We report a case of annular LP that appeared one week after infection with COVID-19, suggesting an association between the diseases. There is a scarcity of reports of lichenoid lesions associated with COVID-19, with only one other report of the rare LP annularis variant triggered by SARS-CoV-2 infection having been identified.4None declared.Laura Murari Mondadori: Design and planning of the study; data collection, or data analysis and interpretation; statistical analysis; drafting and editing of the manuscript or critical review of important intellectual content; collection, analysis, and interpretation of data; effective participation in research orientation; intellectual participation in the propaedeutic and/or therapeutic conduct of the studied cases; critical review of the literature.Helena Barbosa Lug\u00e3o: Design and planning of the study; data collection, or data analysis and interpretation; statistical analysis; drafting and editing of the manuscript or critical review of important intellectual content; collection, analysis, and interpretation of data; effective participation in research orientation; intellectual participation in the propaedeutic and/or therapeutic conduct of the studied cases; critical review of the literature; approval of the final version of the manuscript.Fernanda Andr\u00e9 Martins Cruz Perecin: Design and planning of the study; data collection, or data analysis and interpretation; statistical analysis; drafting and editing of the manuscript or critical review of important intellectual content; collection, analysis, and interpretation of data; effective participation in research orientation; intellectual participation in the propaedeutic and/or therapeutic conduct of the studied cases; critical review of the literature; approval of the final version of the manuscript.Marco Andrey Cipriani Frade: Design and planning of the study; data collection, or data analysis and interpretation; drafting and editing of the manuscript or critical review of important intellectual content; collection, analysis, and interpretation of data; effective participation in research orientation; intellectual participation in the propaedeutic and/or therapeutic conduct of the studied cases; critical review of the literature; approval of the final version of the manuscript.None declared."}
+{"text": "Editorial on the Research TopicPeriod povertyEach month, half of the world's female population, estimated at 1.9 billion individuals, experience menstruation . MenstruThe American Medical Women's Association defines period poverty as the lack of accessibility or affordability of menstrual hygiene tools and educational material, such as sanitary products, washing facilities, and waste management . The terPeriod poverty does not only affect menstruating people in lower income countries; it also affects them in higher income countries . It is eSwe et al.). These findings were similar to those highlighted in the systematic review by Patel et al. on period poverty in lower and middle income countries, which included three emerging themes:1.Availability and affordability of menstrual products, and accessibility to water, sanitation and health (WASH) services,2.Availability of support system and coping with \u201cperiod poverty,\u201d and3.Gender dimensions of menstrual hygiene management.Age appropriate education, using innovative approaches such as interpersonal practical guidance (IPG) as face-to-face communication and mediated practical guidance (MPG) as social and behavior change communication (SBCC), was successful in improving menstrual health and hygiene management (MHHM) knowledge, attitudes, and practices in India, while addressing the existing menstrual health challenges in similar settings . Another country that suffered drastically from the consequences of period poverty amidst an economic recession and political turmoil was Lebanon .The gap in the literature and the lack of data on period poverty is a continuous challenge to measure its deteriorating impact on women's health. The following special issue aimed to address this gap by including a diverse set of qualitative, cross-sectional, and review studies exploring the menstrual experiences of girls and women from different regions across the world. For instance, the menstrual health challenges reported by adolescent girls in Myanmar ranged from access to information and social support, to behavioral restrictions, stigma surrounding menstruation, and difficulties managing menstrual bleeding and pain . Similarly, adults working with U.S-based communities of color revealed tension between school responsibility and family authority in providing menstruation and puberty education in schools, school- and teacher-related delivery challenges, and inadequate and disengaging menstruation and puberty content .When it comes to the United States, low-income menstruating adults were seen to be disproportionately affected by period poverty during the COVID-19 pandemic because the pandemic acted as a barrier to period supplies and an underlying factor for missing work due to the lack of such products (Social, physical, and mental issues imposed by period poverty and encountered by females globally are inhumane and require immediate attention of policymakers and healthcare professionals to attain positive and sustainable menstruation outcomes. Findings from this issue will provide the readers with an overview about the current situation of period poverty in high-income and low-income countries. It will also guide research experts in the design and implementation of interventions seeking to address structural, social, and individual factors among populations impacted by such a phenomenon."}
+{"text": "Zoonotic diseases account for at least 60% of all infectious diseases and no less than two-thirds of new emerging ones, which underlines the importance of monitoring them as early as possible. Understanding the nature of the animal-to-human transmission of zoonotic diseases is a fundamental requirement for their effective anticipation and control. The SARS-CoV-2 pandemic, and more recently, the monkeypox epidemic, have revealed our limited preparedness against a diversity of emerging and re-emerging pathogens. There are different modes of transmission of zoonotic diseases: direct or indirect contacts, vector-borne, or environmental , making their monitoring more complex. Effective control of zoonotic diseases requires early detection of the source of the disease and the factors that contribute to its spread. Combining wildlife, farm animal, and domestic animal health monitoring with human health monitoring can greatly reduce the risk of major epidemics or pandemics of zoonotic origin.The changes in our environment caused mainly by human activity and the evolution of human\u2013animal interactions are and will undoubtedly be responsible for several new health crises. These crises will be manifested in particular by an increase in the frequency and intensity of epidemics and epizootics. Numerous factors favor the increase in interactions between humans, animals, and their environment, such as the increase in animal and human population movements, or the demographic increase in the human population and its expansion into new geographical areas (ultimately increasing human/wildlife interactions). Over half of known human pathogenic diseases can be aggravated by climate change, including warming, precipitation, and floods . These pThe links and analogies between animal health and human health have been known since Antiquity, particularly with the transposition of anatomical knowledge from animals (particularly from dissections) to humans. This notion was expressed more concretely in the mid-1800s by a Prussian pathologist, Rudolf Virchow, who emphasized the lack of distinction between animal and human medicine. The \u201cOne Health\u201d concept has since developed by basing the study of these issues on multidisciplinary and multisectoral approaches . Its genEscherichia coli), and parasites [In this Special Issue, we invite colleagues to submit original research articles and scientific reviews to assemble a collection of papers highlighting the progress in our understanding of all aspects related to surveillance and control of zoonotic diseases, including (1) the development of new diagnostic tools, (2) outbreak investigation and surveillance programs of emerging pathogens , and 3) understanding the mechanisms of pathogen emergence. The first 10 papers published in this Special Issue address topics related to viruses , bacteria ( understasmodium) ,7,8,9,10"}
+{"text": "Beach waste is an important pollutant in the Bohai Sea and coastal cities around the Bohai Sea and has raised many social and environmental concerns in China. The semi-closed characteristics of the Bohai Sea, the well-developed tourism, the special industrial structure and residents\u2019 living habits endow the beach waste around Bohai sea with a unique character that should be explored. This study investigated changes in the sources and composition of beach waste in coastal cities around the Bohai Sea of China during the tourist peak and off-peak seasons. Beach waste from twenty beaches in thirteen coastal cities around the Bohai Sea was sampled and analyzed in March and August 2021, respectively. The results showed that beach waste around the Bohai Sea was characterized by large quantities and small weights and was greatly affected by human coastal activities. The sources and composition of beach waste from different coasts and different seasons varied, whereas the overall trend was consistent. In terms of composition, beach waste in both the tourist peak season and off-peak season was mainly composed of plastics, fabrics and paper, which accounted for more than 70% of the total in weight. Meanwhile, the proportion of plastics in the total quantity of beach waste was greatest (maximum of up to 71%) and exhibited seasonal fluctuations, trending higher in the tourist peak season than in the off-peak season. In contrast, trends in the proportion of paper and fabrics in the total quantity and total weight of beach waste were relatively stable in different seasons. In terms of sources, beach waste mainly derived from human coastal activities, the proportion of which in the total quantity of beach waste in the tourist peak season reached 70.55% and was 11% higher than that in the tourist off-peak season. Shipping/fishing activities were the second largest source of beach waste, and their proportion in the total quantity of beach waste in the tourist peak season was 5% lower than that in the tourist off-peak season, as the tourist peak season around the Bohai Sea coincides exactly with the fishing moratorium. The quantity of smoking-related waste only accounted for 9.35% and 7.73% of beach waste in the tourist peak and off-peak seasons, respectively. The special semi-enclosed structure of the Bohai gulf, surrounded by land on three sides, aggravated the accumulation of beach waste on the coast. Source reduction and classified recovery, collaborative management of marine waste and beach waste, and joint prevention and control mechanisms of three provinces and one municipality (Tianjin) were suggested for comprehensive management of beach waste in coastal cities around the Bohai Sea of China. This study provided valuable information for beach waste management in coastal cities around the Bohai Sea of China. The world\u2019s oceans have been overexploited. Human activities are greatly affecting the marine and coastal environment and coastal ecosystems . Large qBeach waste is very complex and mainly composed of plastics, woods, metals, glass, rubber, clothing, foam and other materials ,12. Beac2, a mainland coastline of 2796 km, and an average water depth of 18 m. There are about forty rivers along its coast, including the Yellow River, Liaohe River and Haihe River. The Circum-Bohai-Sea region is an important strategic region for the coordinated development of Beijing, Tianjin and Hebei province in China, a significant ecological region for marine biodiversity protection as well as a vital functional region for the lives of local residents. Liaoning, Hebei, Shandong and Tianjin surround the Bohai sea, and their total gross marine output reached CNY 2621.9 billion, accounting for 31.4% of the national gross marine output of China. For decades, the Bohai Sea has paid a great price in its resources and environment to support the economic development around the Bohai region and has become the most degraded coastal area in China [Bohai Sea is the sole semi-closed marginal sea in China, with a sea area of about 78,000 kmin China . In partin China .At present, most research studies concerning the environment around the Bohai Sea region have focused on its seawater quality , marine 2, accounting for 1.63% of the total territorial sea area of China. The Bohai Sea includes Liaodong Bay, Bohai Bay, Laizhou Bay, Central Sea Basin and Bohai Bay. It is surrounded by thirteen coastal cities belonging to Liaoning, Hebei, Tianjin, and Shandong provinces. The Bohai Sea has a unique natural ecology, obvious geographical advantages and a prominent strategic position. Meanwhile, it is confronted with many challenges, including unstable environmental quality, a degraded ecosystem and high environmental risks. The Bohai Sea is a major ocean dumping area, accounting for 20.3% of the total amount of marine waste dumped in China, as shown in The Bohai Sea is a semi-closed, shallow sea located deep inside the Chinese mainland , as shown in The sampling points are shown in After collection, samples of beach waste from each sampling point during the tourist peak and off-peak seasons were sorted, counted and weighed, respectively. The composition of these beach waste samples was divided into nine categories: plastic, wood products, paper, metal, polystyrene plastic foam, rubber, fabric, glass, and others. According to the Northwest Pacific Organization, the sources of beach waste were divided into five categories : human cThe composition of beach waste obtained from twenty beaches in thirteen coastal cities around the Bohai Sea of China during the tourist off-peak and peak seasons is shown in Following plastics, paper waste and fabrics were also major components of beach waste around the Bohai Sea. In terms of average quantity, the proportion of waste paper in beach waste from twenty beaches in the tourist off-peak and peak season reached 18.32% and 17.97%, respectively. These waste paper components in beach waste mainly included food packaging, towels and cigarette boxes discarded by tourists. Meanwhile, in terms of average weight, the proportion of fabrics in the tourist off-peak and peak season remained relatively stable, reaching 28.65% and 27.28%, respectively. Polystyrene foam is a key material in fishing net buoys and life vests and is often found in beach waste. The percentages of polystyrene foam in beach waste from twenty beaches in thirteen coastal cities were highly variable and random. Among them, the percentages of polystyrene foam by weight and quantity were highest in Dongjiang Construction and Development Memorial Park of Tianjin, reaching 21.40% and 24.44% in the tourist off-peak season and 10.81% and 34.15% in the tourist peak season, respectively. The perniciousness of polystyrene foams to the marine environment and marine organisms is not less than that of plastic waste. The polystyrene foams are broken up and disintegrated into many pieces of micro-plastic by mechanical (wind and wave), biological (microorganisms) and chemical (ultraviolet radiation) degradation . Waste wThe sources of beach waste in samples obtained from twenty beaches in thirteen coastal cities around the Bohai Sea of China during the tourist off-peak and peak seasons are presented in The second greatest source of beach waste was shipping/fishing activity. This mainly included buoys, ropes and fishing nets. By quantity and weight, the average proportions of beach waste from shipping/fishing activity on these twenty beaches during the tourist off-peak season reached 19.12% and 27.75%, respectively, which were higher than their levels during the tourist peak season . One reason was that the tourist peak season between July to September for coastal cities around Bohai Sea coincided exactly with the seasonal fishing moratorium on the Bohai Sea. At that time, shipping/fishing activities were greatly decreased, which reduced their contribution as a source of beach waste. Meanwhile, the frequency of beach pollution cleanup operations was much higher during the tourist peak season than during the tourist off-peak season. These buoys, ropes and fishing nets washed ashore by the seawater would not stay on the beach for very long before they were cleaned up during the tourist peak season. Moreover, during the lengthy tourist off-peak season, a great deal of marine waste (including many buoys and fishing nets) would be washed ashore by strong winds, waves and ocean currents.Counting as the third greatest source of beach waste were other discarded materials, including construction waste and other debris from unidentifiable sources. In terms of average quantity and weight, the proportions of other discarded materials in beach waste during the tourist off-peak season on these twenty sampled beaches were also higher than their levels during the tourist peak season. Many waste materials were degraded into unidentified debris by waves. In particular, by weight, the proportions of other discarded materials in total beach waste at Panjin Jinbotan Beach, TDC&DM Park, Binzhou Shell Island and Yantai No. 1 Bathing Beach even reached above 40% during the tourist off-peak season. From 2, and the average density was 1849 kg/km2. It was reported that plastic waste (75.9%) was the overwhelming type of beach waste. China has been highly attentive the issue of marine waste pollution and has already issued a series of relevant laws, regulations and documents concerning marine environmental protection and marine waste management, as shown in Currently, marine and beach waste are important pollutants for the Bohai Sea and its surrounding coastal cities and have spurred many social and environmental concerns in China. Due to the semi-closed nature of the Bohai Sea and its low water exchange ability with the outer sea, marine waste and beach waste are exchanged only within a certain range of time and space. Thus, marine and beach waste should be taken into account together. According to the 2021 China Marine Ecological Environment Status Bulletin , the ave2/cycle; that was the lowest in four major sea areas of China [The quantitative proportions of different components and sources of beach waste on twenty beaches during the tourist off-peak and peak seasons were averaged to approximate the beach waste situation for the whole year in these thirteen coastal cities around the Bohai Sea of China, as shown in of China . In receAs shown in The waste scattered on beaches has a major negative impact on the natural landscape and the ecological environment of the coastal region. The high mobility of beach and marine waste materials due to frequent winds, waves, ocean currents and tsunami has further magnified their perniciousness.In particular, the Bohai Sea is the sole semi-closed marginal sea in China. There are about forty rivers along its coast, including the Yellow River, Liaohe River and Haihe River. The Bohai Sea is surrounded by Liaoning, Hebei, Shandong and Tianjin and is a vital functional region for the lives of local residents as well as a significant ecological region for marine biodiversity protection. The semi-closed nature of the Bohai Sea, the well-developed tourism, the special industrial structure and residents\u2019 living habits endow the beach waste around Bohai Sea with a unique character. In order to control the beach and marine waste pollution of coastal cities around the Bohai Sea, a series of suggestions are proposed as follows:(1) Source reduction and classified recovery. The production, sale and use of disposable plastic products should be further restricted. Reusable tools and products should be encouraged in shipping and fishing activities. The behaviors of individuals (tourists and marine industry practitioners) and relevant enterprises must be well-regulated. The random waste dumping into the sea and on beaches must be strictly prohibited. The identification of the sources, components and distribution of beach waste around the Bohai Sea should be well-investigated. The classified recovery of beach waste is indispensable. Valuable components and materials in beach waste should be recycled.(2) Collaborative management of marine waste and beach waste. Marine waste and beach waste will exchange positions within a certain range of time and space. Beach waste management should also be incorporated into the comprehensive governance of the Bohai Sea. Laws and regulations concerning collaborative management of marine waste and beach waste should be established. Deeper insights into the whole life cycle of beach waste combined with marine waste should be developed.(3) Joint prevention and control mechanisms in three provinces and one municipality (Tianjin). The Bohai Sea is surrounded by Liaoning, Hebei, Shandong and Tianjin. These four regions must keep pace in the comprehensive governance of marine waste and beach waste in the Bohai Sea. The joint prevention and control mechanisms of the three provinces and one municipality for marine waste and beach waste pollution are indispensable. With the efforts of the government, enterprises, institutions, environmental protection organizations and the public, the three provinces and one municipality will form a leading force for beach waste prevention and control.Beach waste around the Bohai Sea was characterized by large quantities of small, lightweight materials and was greatly affected by human coastal activities. The sources and components of beach waste from different coasts and in different seasons were varied, whereas the overall trend was consistent. In terms of composition, beach waste in both the tourist peak season and off-peak season mainly of plastics, fabrics and paper, which together accounted for more than 70% of the total in weight. Meanwhile, the proportion of plastics in the total quantity of beach waste was the greatest (up to a maximum of 71%) and exhibited seasonal fluctuations that were higher in the tourist peak season than in the tourist off-peak season. In contrast, the percentages of paper and fabrics in the total quantity and total weight of beach waste maintained relatively stable trends across different seasons. In terms of sources, beach waste was mainly derived from human coastal activities, which accounted for 70.55% of the total quantity of beach waste during the tourist peak season, 11% higher than that in the tourist off-peak season. Shipping/fishing activities were the second largest source of beach waste, and their share of the total quantity of beach waste during the tourist peak season was 5% lower than that during the tourist off-peak season, as the tourist peak season around the Bohai Sea coincides closely with the seasonal fishing moratorium. Smoking-related waste only accounted for 9.35% and 7.73% of the quantity of beach waste during the tourist peak and off-peak seasons, respectively. The special semi-enclosed structure of the Bohai gulf surrounded by land on three sides aggravated the accumulation of beach waste on the coast. Source reduction and classified recovery, collaborative management of marine waste and beach waste, and joint prevention and control mechanisms of the three provinces and one municipality (Tianjin) were suggested for comprehensive governance of beach waste in coastal cities around the Bohai Sea. Although this study provided valuable information concerning sources and components of beach waste in coastal cities around the Bohai Sea, the physical, chemical and biochemical properties of beach waste are still not clear. In the future, the characteristics of beach waste should be further investigated, and the treatment technologies should be taken into consideration."}
+{"text": "Art-therapy is a promising and acceptable management strategy of eating disorders (ED). It has the potential to improve well-being and therapeutic alliance, targeting psychological dimensions of ED, and dealing with difficulties of expression and rationalization of patients. Nevertheless, the efficacy of this approach is difficult to evaluate because of the lack of studies in this area.We sought to provide an overview on the efficacy of art therapy in the management of ED, by a systematic review of all controlled trials using art therapy on patients with ED.This systematic review included all controlled trials using art-therapy on a population of adolescent and adult patients with ED. The effect of art therapy on clinical indicators such as anthropometric variables, symptoms and dimensions of ED was evaluated.Of the 1286 screened records, only four respected inclusion criteria. These four trials evaluated plastic art therapy, music therapy, writing therapy, and dance-movement therapy. A large number of bias and strong heterogeneity of inclusion criteria, techniques and variables prevented any attempt of quantitative synthesis. Music therapy appeared to have a significant effect on post-prandial anxiety, while dance-movement therapy showed an effect on body dissatisfaction.The generalizability of the results found is weakened by the high heterogeneity of trials. Replication studies and a rigorous methodologies are necessary for more reliable conclusions. Art therapy could help improving some specific dimensions of ED.No significant relationships."}
+{"text": "Explosive growth in computing power has increased by orders of magnitude the complexity of data structures and the number of analyses that may be performed per unit time. Contemporary gerontology utilizes diverse data ranging from continuous longitudinal assessments (e.g. motion capture) to complex single-timepoint assessments (e.g. bioimages) to systems-level administrative descriptions of the healthcare delivery environment. Paradoxically, this abundance of resources presents a considerable challenge, as the availability of information threatens to overwhelm mechanistic models of aging supportive of intervention development. To inform precision medicine, gerontological biostatistics therefore embraces the opportunity of collaborating with allied quantitative disciplines to bolster the coherence, reproducibility, and generalizability of findings. This presentation will demonstrate the salient advantages of such interdisciplinary collaborations using the example of design and analysis of an intensely longitudinal study of wearable and environmental sensors, conducted with teams in exercise science and architectural design."}
+{"text": "Dear Editor,Cutaneous Pseudolymphoma (CPL) refers to reactive lymphoid proliferation simulating cutaneous lymphomas. CPL may occur in response to many kinds of foreign antigens or factors, such as injected substances, tattoos, arthropod bites, and so on.A 31-year-old man presented with a 3-month history of two asymptomatic subcutaneous nodules on his back. He was otherwise healthy and there was no history of preceding illness, injected substances, vaccination, or insect bite. Physical examination revealed two coin-sized subcutaneous nodules palpable on his back . The skiCutaneous Pseudolymphoma (CPL) is not an uncommon condition, which considers a group of benign cutaneous lymphoproliferative disorders and very rarely progresses to lymphoma. The clinical presentation of CPL has a wide spectrum. The most common clinical manifestations are red to violaceous nodules, papules, or plaques on the exposed areas, especially on the face and neck. Subcutaneous nodules, as in our case, are the uncommon presentation of CPL, which have been described in several cases occurring secondary to feline scratches or injection of vaccines.None declared.Ying Wang: Approval of final version of the manuscript; conception and planning of the study; drafting and editing of the manuscript.Sitong Li: Approval of final version of the manuscript; participation in the design of the study.Yanping Bai: Approval of final version of the manuscript; conception and planning of the study.Zhancai Zheng: Approval of final version of the manuscript; conception and planning of the study; drafting and editing of the manuscript; critical review of the literature; critical review of the manuscript.None declared."}
+{"text": "The COVID-19 pandemic caused dilemmas for the most vulnerable populations around the world. This article describes the gendered effects of the pandemic on Ugandan women\u2019s rights and wellbeing and provides suggestions for local and international practice. Mandatory lockdowns and movement restrictions created negative implications for women\u2019s attainment of economic, social, cultural, political and civil rights and intensified pre-existing gender inequalities between women and men. The findings of intensified gender inequities, gender-based violence, sexual abuse, scanty access to reproductive health services and social justice, and barriers to participation in education, employment and politics indicate that response measures were not aligned with the government\u2019s legal and policy framework for addressing gender inequities. This research indicates that governments, civil society organisations and the international community must undertake proper gender analysis in designing response measures and guidelines not only for COVID-19 but also in other emergencies. All response measures during emergencies must be coordinated, monitored and evaluated to ensure efficient and effective protection of the vulnerable and conformity to human rights standards. The Sustainable Development Goals (SDGs)\u2014a plan to achieve 17 goals with 169 targets in 15\u00a0years evolved in 2015. These cover all aspects to transform lives. The goals provide hope that the world can transcend biting poverty, food insecurity, unhealthy lives and discriminatory gender practices and achieve equality and women empowerment and sustainable and inclusive development. The corona virus disease (COVID-19) pandemic emerged while international partners were struggling to redress imbalances as set out in the SDG plan to secure good futures for their populations. This global enemy was declared a public health emergency by the World Health Organisation (WHO) on 30 January 2020.In March 2020, Uganda reported its first confirmed COVID-19 case and cases gradually increased to 163,301 as of March 2022 Women, Based on a comprehensive literature review, this article describes the impact of the pandemic on women\u2019s rights and wellbeing. It explains the recurrence of gendered inequalities from the COVID-19 crisis. This research contributes to global attempts for strengthening women\u2019s capacities and rights. It is expected that national response teams across sectors will consider the gendered implications of COVID-19 and put in place a broad and gender-responsive COVID-19 prevention and response plan to reduce conditions of vulnerability and strengthen resilience across various disadvantaged groups.The article begins with a brief description of methods and provides the legal and policy context of the rights and management of COVID-19 in Uganda. The second part analyses the gendered effects of COVID-19 on women\u2019s rights and wellbeing under six themes: the implications of COVID on women\u2019s economic rights, COVID-19 and its effects on women\u2019s unpaid work, COVID-19 and women\u2019s health needs, COVID-19 and gender-based violence (GBV), COVID-19 implications on the young women\u2019s right to education and COVID-19, discrimination and the legal protection of women\u2019s rights. The final section provides local and international implications for practice.Uganda has made some advancements in the achievement of women and girls\u2019 rights in the political, economic and social spheres. For instance, the Universal Primary Education (UPE) programme increased the overall enrolment of women from 2.7 million in 1995 when it was rolled out to the recent 4. 4 million in 2017 (Uganda Bureau of Statistics (UBOS), Women have progressively become visible in leadership and public decision-making. The Ugandan Constitution provides for the reservation of one seat for a woman member of parliament for every district and at least one-third of local council seats are reserved for women. Women's reproductive health packages have also been promoted by the government and women\u2019s organisations and this facilitates their participation in the productive economy and ability to meet their survival needs. For example, the total fertility rate declined from seven to five children per woman between 1995 and 2016 UBOS, .Despite these achievements, research indicates high school dropout rates for girls in primary and secondary education, increased gender disparities in enrolment and completion rates and more women than men in low-paid occupations NPA, . BesidesUganda has a rich legal framework that addresses gender-responsive planning and programme design at the national, regional and international levels. Uganda\u2019s Constitution guarantees equality of all people under the law in all spheres of political, social and cultural life and the enjoyment of equal protection by the law in all aspects. Chapter four of the constitution lays down fundamental rights and freedoms of women and fair representation of marginalised groups, freedom from discrimination, and proposes affirmative action in favour of marginalised groups based on gender or any other reason created by tradition or customs is mandated to spearhead and coordinate sectors to ensure that the concerns and experiences of women and men are fully integrated into the design, implementation and monitoring and evaluation policies and programmes.With this initiative, the GOU has mainstreamed gender issues in several policies and programmes including, the Gender Equity Budgeting Policy, the National Priority Gender Equality Indicators 2016), the National Policy on the Elimination of Gender-based Violence in Uganda, the Uganda Vision 2040, the Third National Development Plan (NDPIII) 2020/21 \u2013 2024/25, the Uganda Gender Policy 2007 (UGP), the Gender in Education Policy, the Education Sector Strategic Plan (ESSP) 2007\u20132015 and the Business, Technical, Vocational Education and Training (BTVET) Strategic Plan (2012/3- 2021/2) to improve the status of women and girls. For instance, Gender Education Policy promotes the implementation of universal and compulsory education, engendered education curricula, gender equality in teacher recruitment, and deployment, sex education, re-entry into formal education for young mothers and advocacy for stay-in-school campaigns for girls (Ministry of Education and Sports (MoES), , the NatIn addition, Uganda is a signatory to regional instruments that promote gender equality and empowerment including the East African Community (EAC) Treaty (2000), the Common Market for Eastern and Southern Africa (COMESA) Gender Policy , the Protocol on the Rights of Women in Africa , the Inter-Government Authority on Development (IGAD), Gender Policy and Strategy , the New Partnerships for African Development (NEPAD) and the AU Heads of State Solemn Declaration on Gender Equality . Internationally, the country ratified the Convention on Elimination of All Forms of Discrimination Against Women , the Beijing Declaration and Platform for Action (1995), the International Conference on Population and Development (1994) and the United Nations Declaration on Violence Against Women .This allegiance obliges the government to enact programmes to enhance women\u2019s human rights and wellbeing. In 1997, the government enacted a National Gender Policy (NGP) which was revised in 2007. The NGP presents strategies focused on developing and implementing livelihood interventions that respond to diverse gender needs, address women\u2019s rights and access to justice, strengthen women\u2019s participation in administrative and political processes and address gender inequalities in macro-economic policy formulation, and implementation and evaluation 2020/21 \u2013 2024/25. The NGP stresses that all national programmes must advance equal gender relations by eliminating gender discriminatory practices, norms and values, preventing and responding to gender-based violence, executing sexual and reproductive health rights programmes, implementing legal literacy programmes for women, supporting social protection for vulnerable women, promoting time-saving technologies, developing incentive frameworks for poor women and eradicating exploitation of women and girls.This article is based on policy documents and published literature on COVID-19 and its impact on women and girls. It draws on official GOU documents about the management of COVID-19, international human rights instruments, national health and development policy documents, WHO publications and reports and journal articles covering COVID-19 and its impacts on women and girls. The majority of these documents were accessed from the government of Uganda websites. The first search for journal papers resulted in thirty-eight (38) papers but only nineteen (19) that were judged to be of high quality were included in the review covering Africa and other parts of the world. Literature published between 2005 and 2022 was considered for inclusion with a high number focused on the period 2020 and 2022 when the COVID-19 pandemic was confirmed.The policy documents were analysed using content analysis Bryman, . The proUganda confirmed the first COVID-19 case in March 2020, and the number of cases has since then increased to 163,301 as of March 2022 , In addition, all government ministries, agencies and departments were directed to work out plans to ensure that only essential staff would physically report for duty in the offices. Additional public health measures to contain the pandemic were instituted such as the closure of the country\u2019s borders, quarantining of individuals of healthy persons who may have been exposed to the virus and immediate suspension of public transport to minimise movement and contact among people. , The GOU recognises gender inequality as a constraint to growth in the country NPA, . Gender To ensure growth and prosperity, states are required to pursue progress in a fair way that grants women equal rights with men in the political, social, economic and cultural life of their countries. Gross inequalities in work and wages, unpaid women\u2019s work, discrimination in public decision-making, violence and exploitation of women and girls, harmful practices and unequal access to universal reproductive rights and health need to be exposed and eliminated. Elimination of these would foster equal rights and empowerment of women and lead to sustainable and inclusive development.The National Development Plan III (2020/2021\u20132024/2025) guides the establishment of strategies to increase household incomes and improve the quality of life of all people. Women have equal rights as men, to participate in the economic life of their countries at all times and in all contexts. Under this initiative, States must create an enabling environment where women and men are empowered to join gainful employment. This obligation requires a gender sensitivity lens to recognise different situations and needs of women and men throughout the decision-making processes. For instance, some women may require affirmative action to balance their roles both in the monetised and non-monetised sectors of the economy.However, Uganda\u2019s COVID-19 response measures did not take into account the economic and livelihood needs of women and girls. Previously, there has been marked gendered segregation of Ugandan women in the formal sector with many being concentrated in client-facing roles, leisure, travel and hospitality business \u00a0 revealedAlthough an economic shutdown of predominant female sectors has affected women in both developed and low-income states Peck, , women iUganda\u2019s National Equal Opportunities Policy 2006 envisioned a just, free and fair development process and establishment of affirmative action where imbalances exist compared to men (11%) left their jobs/careers to attend to household needs Peck, . Though The pandemic has worsened maternal health outcomes globally. Uganda has registered an increase in maternal deaths due to involuntary confinement and resultant financial uncertainty exacerbates maternal mortality and morbidity and increases the risks of early and unwanted pregnancies, HIV and other sexually transmitted diseases.A situation analysis of the impact of COVID-19 on school-going girls and young women in Uganda by the United Nations Children's Fund (UNICEF) reported a 22.5% increase in pregnancy among girls aged 10\u201324 seeking first antenatal care from 80,653 to 98,810.The National Policy on Elimination of Gender-Based Violence in Uganda aimed to eliminate gender-based violations and impunity ; UN WomeIn the public sphere, market women were forced to sleep on the job due to curfew with some being humiliated, injured and arrested by security personnel suffered , The decision to close schools possibly saved learners worldwide NPA, ; howeverArticle 2 of the CEDAW imposes an obligation on states to establish effective legal protection of the rights of women on an equal basis with men. Women need protection from exploitation and discrimination especially because emergencies intensify violence and disrupt existing protective structures and sexual harassment MOFPED, . For exaThe pandemic risked women\u2019s rights because services in different ministries and institutions including the health sector, justice sector, internal security, local government (districts) and non-government organisations services were disrupted due to limited financial and human resources. This restricted monitoring, evaluation and coordination efforts for apprehending perpetrators and support to victims. For instance, at a certain point, MoGLSD lacked funds to support GBV prevention and response while the closure of the court system delayed justice and GBV-related legislation revised and stringent roadmap. For example, the EC banned political rallies and processions and made the entire process unaffordable for the poor. Expensive restrictions and curfew rules curtailed general participation in these elections Babirye, . Women, The foregoing discussion shows the gendered effects of the COVID-19 pandemic on women\u2019s economic and education rights, unpaid work and health needs and indicates a resurgence of gender-based violence (GBV) and discriminatory practices against women and girls. This is concerning because they are happening with minimal or no protection because available resources are highly prioritised in the management of the pandemic. This raises an important question: how to stitch these gaps to protect rights and improve the wellbeing of women, girls and other marginalised populations during crises like the COVID-19 pandemic?At the outset, the GOU, civil society organisations and the international community need to re-examine COVID-19 measures and guidelines and ensure that they are gender-responsive and conform to human rights standards. To ensure that COVID-19 responses are gender-responsive, various social protection measures must be in place to shelter the most disadvantaged (such as the provision of food relief and cash transfers) and most importantly, women must be represented in professional and technical COVID-19 task forces. Given that most of the COVID-19 containment efforts are largely funded by development partners, they should avail sustainable and prompt funding to facilitate the formation of country-specific functional gender-sensitive management committees to promote gender equality initiatives and women\u2019s rights.It is also important to anticipate the gendered impacts of the lockdowns and stay-at-home orders on women and girls and other vulnerable groups. This is necessary to establish policies, systems, structures and practices that meet their specific needs and priorities, for example, measures to minimise delays in accessing specialised health care and affordable legal protection. Sustainable recovery strategies may involve recognition of women\u2019s unpaid work, provision of equal opportunities and social protection schemes UN, .Furthermore, affirmative action as enshrined in legal and human rights instruments must be pursued to bridge gender gaps and address historical and present forms of discrimination against women and girls in the economic, social, political and cultural spheres. For instance, social security protection measures to cover informal workers or capital and economic stimulus packages and emergency measures as implemented in other countries UN, can be aThe role of professionals in different ministries and institutions including the health, education, justice, internal security sectors and local governments must not be overlooked. This research has revealed several issues including violation of women\u2019s rights, gender-based violence and discrimination and their consequences on individual women and national development. Health workers, social workers, counsellors, lawyers and other professionals must provide seamless practice in terms of needs assessments, information sharing, management and referral. For example, probation officers are versed in human rights. They could form useful partners for assessing risks associated with response measures (such as lockdown and restrictions on movement) and monitoring the COVID-19 situation in communities and providing required individual and group counselling.Professionals over the world need to innovate ways of advocacy to ensure that the voices of disadvantaged groups reach COVID-19 management task forces in all contexts, for example, social workers can aid the transformation of the education system to integrate teaching methods that can address the special needs of traumatised or teenage mothers. This will ensure prioritisation of their rights and needs for safety, health and wellbeing and foster inclusive development in the long run.Gender equality is not only a right but also a necessity for the achievement of further development goals. The COVID-19 containment measures adopted by GOU have impaired women\u2019s rights and escalated unequal power relations causing high levels of violence against women and girls, death, disability, teenage/early pregnancies and school dropouts. Mandatory lockdowns and movement restrictions created negative implications for women\u2019s attainment of economic, social, cultural, political and civil rights and intensified pre-existing gender inequalities between women and men.The oversights (in the design and implementation of COVID-19 control measures) discussed in this article are great lessons for upgrading the management of ongoing and future pandemics. Uganda\u2019s government planners and development partners need to design and implement comprehensive and integrated response services to safeguard the wellbeing and survival of vulnerable populations. Such interventions must also consider and address their routine challenges.This research has indicated a need for policymakers, community leaders and service providers to apply gender analysis in the delineation of public health measures and standard operating procedures on women\u2019s wellbeing and rights.https://www.health.go.ug/https://www.unicef.org/uganda/press-releases/prioritize-re-opening-schools-secure-childrens-well-being"}
+{"text": "Immunogenic cell death (ICD) is a type of cell death that leads to the regulation and activation of the immune response, which is marked by the exposure and delivery of damage\u2010associated molecular patterns (DAMPs) in the tumor microenvironment. Accumulating evidence has revealed the significance of ICD-related genes in tumor progression and therapeutic response. In this study, we obtained two ICD-related clusters for glioblastoma (GBM) by applying consensus clustering, and further constructed a risk signature on account of the prognostic ICD genes. Based on the risk signature, we found that higher risk scores were associated with worse patient prognosis. Besides, the results illustrated that ferroptosis regulators/markers were highly enriched the high-risk group, and ferroptosis were correlated with cytokine signaling pathway and other immune-related pathways. We also discovered that high-risk scores were correlated to specific immune infiltration patterns and good response to immune checkpoint blockade (ICB) treatment. In conclusion, our study highlights the significance of ICD-related genes as prognostic biomarkers and immune response indicators in GBM. And the risk signature integrating prognostic genes possessed significant potential value to predict the prognosis of patients and the efficacy of ICB treatment. Immunogenic cell death (ICD) is a form of cell death that leads to the regulation and activation of the immune response, which is characterized by the exposure and release of damage\u2010associated molecular patterns (DAMPs) in the tumor microenvironment such as calreticulin (CRT), secreted HMGB1and ATP . These mGlioblastoma (GBM) the most fatal brain cancer with a median survival time of 12 to 18 months and 5-year survival rate of less than 10% . At preshttp://www.tcga.org/ ). For the validation dataset, the RNA-Seq data were obtained from TCGA. The information about the response of tumor patients to anti-PD-1 checkpoint inhibition therapy was acquired from the Gene Expression Omnibus (GEO) datasets GSE67501 and GSE78220.For the training set, the RNA-Array data and corresponding clinicopathological information of GBM patients were retrieved from TCGA , progression free survival (PFI), and disease-specific survival (DSS) of patients in different clusters or risk groups. ROC curve was utilized to estimate the predictive performance of different classification methods in various aspects, including 1 -, 3 -, and 5-year survival, GBM subtypes, and IDH status.The DEGs between different risk groups were identified by utilizing the R package \u201cLimma\u201d. Gene Ontology (GO) and Kyoto Encyclopedia of Genes and Genomes (KEGG) analyses of the aberrantly expressed genes were determined by the gene set variation analysis (GSVA), which compared the variation levels of gene sets between groups . We alsoESTIMATE is an implement to estimate tumor purity and the presence of infiltrating stromal cells/immune cells in tumor tissues utilizing gene expression according to the enrichment analysis of single sample gene set .The immune infiltration heterogeneity between groups was estimated by the R package integrating six state-of-the-art algorithms, which include TIMER , MCP-couhttp://tide.dfci.harvard.edu/) assessed two different indexes of tumor immune escape, including dysfunction of cytotoxic T lymphocytes (CTLs) and rejection of CTLs by immunosuppressive molecules (Tumor immune dysfunction and exclusion (TIDE) analysis was performed to evaluate the potential response to ICB treatment. TIDE collects numerous cell drug sensitivity information and drug disturbance-based cell expression signature, which provides specific information for integrating a large number of drug sensitivity and genomic data to promote the discovery of novel therapeutic biomarkers for cancer treatment (The Genomics of Drug Sensitivity in Cancer (GDSC) database was utilized to locate the drugs with the specific target potential as anti-cancer candidates based on the correlation between the risk score and drug response AUC. GDSC database were compared in both the TCGA array , the key molecules mediating antigen presentation in cancer immunotherapy, were upregulated in the high-risk group (at/home) . NotablyThen, we applied the GDSC1 and GDSC2 databases to assess potential effective anti-cancer drugs based on risk scores and the AUC values of drugs. We identified 341 and 175 kinds of potential drugs in GDSC1 and GDSC2 databases respectively, and 15 kinds of them were overlapped whose AUC values were negatively correlated with risk scores (http://gepia2.cancer-pku.cn/#index) to obtai#index) can be found in the article/SF, XX, and QC made substantial contributions to the design of this study. XL, JL, ZL, and ZW carried out the analysis and interpreted the data. SF, XL, and XX made contributions to the drafting of the manuscript. HZ, ZD, PL, and JZ made contributions to the review of previous literature. SF, XX, XL, and QC contributed substantially to the revision of the manuscript. All authors contributed to the article and approved the submitted version.This work was supported by the National Natural Science Foundation of China ; Hunan Provincial Natural Science Foundation of China ; Hunan Provincial Health Committee Foundation of China (NO.202204044869); Natural Science Foundation General Program of Changsha City (kq2014290); and Xiangya Hospital Central South University postdoctoral foundation.All authors thank TCGA and GEO database for providing the wothy patient cohort data for research, and we also thank Central South University for providing the High Performance Computing Center.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest.All claims expressed in this article are solely those of the authors and do not necessarily represent those of their affiliated organizations, or those of the publisher, the editors and the reviewers. Any product that may be evaluated in this article, or claim that may be made by its manufacturer, is not guaranteed or endorsed by the publisher."}
+{"text": "Maintaining low ecological consumption and high well-being while making economic progress and thus achieving sustainable development is a significant issue facing the world today. Ecological well-being performance (EWP) is one indicator that tracks this progress. Although EWP has been typically assessed at the national, provincial and urban levels, investigations into EWP units in the Great Lakes region are lacking. This study applied the two-stage super-efficiency slack-based measure (Super-NSBM) model and DEA window analysis to evaluate the EWP and sub-stage efficiency in the Poyang Lake (largest freshwater lake in China) area and analyzed its spatial differences at the local level. Redundancy analysis was conducted to explore the EWP improvement paths of different counties in the Poyang Lake region and Dagum\u2019s Gini coefficient was applied to clarify the policy priorities of coordinated regional development. Results showed that the EWP of the Poyang Lake area presents an improving trend from 2007 to 2019, although the overall level is still low. The Poyang Lake area mainly faces the incongruity of ecological and economic development, which is the main reason for the low overall level of EWP. Excessive resource input and severe environmental pollution are common in most counties, but the focus of measures to improve EWP differs from county to county. The expansion of spatial differences in eco-economic efficiency leads to the spatial differences of EWP in the Poyang Lake area being still apparent at the local level. Reducing inter-basin disparities while alerting the widening of intra-basin differences is the policy focus for the future coordinated development of the Poyang Lake area. Achieving economic prosperity and social progress within ecological limits is the essential requirement of sustainable development for improving human well-being . Daly [4 [7] firIn recent years, scholars have successfully conducted numerous sustainable development studies through EWP. They have mainly used two methods to evaluate EWP, namely, ratio and the efficiency model . HDI 1313 and liSome scholars have argued that the ratio method presents two limitations . On the In addition, regional differences are a popular part of EWP research and have been studied extensively by scholars. For example, Wang et al. (2021) applied Although EWP has been successfully applied, it can still improve in the following aspects. First, most studies on spatial differences in EWP have been conducted under the large-scale levels of regions, provinces and cities and there is a lack of spatial difference analysis at the local level of the Great Lakes region. Second, studies typically consider ecological inputs but ignore nonecological inputs, such as scientific and technological expenditures and human capital inputs, in the process of indicator selection. These elements are indispensable intermediate means of converting ecological consumption to human well-being. Finally, existing studies only consider EWP as a simple direct conversion process from ecological consumption to well-being output and lack the analysis of sub-stage efficiency.Compared with previous studies, the main objectives of this study are presented as follows. First, nonecological inputs, such as science and technology expenditure and human capital input, are included in the evaluation index system to assess the level of EWP in the Poyang Lake area comprehensively and accurately. Second, the spatial differences of EWP and its sub-stage efficiency in the Poyang Lake area at the local level are analyzed and the Dagum Gini coefficient is used to explore the characteristics and sources of spatial differences. Third, the redundancy analysis is used to reveal what measures each county should take to enhance EWP. We hope that the analysis of this study can provide scientific policy reference for the local level of the Poyang Lake area to enhance EWP in a coordinated manner.The specific study area identified in this thesis includes 25 counties (districts or cities) within the Poyang Lake area, given the availability of data. Notably, Yujiang County was renamed Yujiang District in 2018, Jiujiang County was renamed Chaisang District in 2017, Dongxiang County was renamed Dongxiang District in 2016, Xingzi County was renamed Lushan City in 2016 and Xinjian County was renamed Xinjian District in 2015. However, this adjustment only changes the name and district boundaries remain the same. Names of administrative divisions after the adjustment are used in this study to ensure uniformity in presentation. The two main regional classification methods for the Poyang Lake area in the literature are \u201ccenter\u2013periphery\u201d and \u201cby The Poyang Lake area is divided into two parts: the lakeside area and the peripheral area around the lake. Poyang Lake basin belongs to the lakeside area and Ganjiang River basin, Xinjiang River basin, Raohe River basin, Xiuhe River basin, Yangtze River basin and Fuhe River basin belong to the peripheral area around the lake.On the basis of Long (2019) and WangThe evaluation index system of EWP in the Poyang Lake area is presented in Output indicators of the first stage also include both desired and undesired outputs. If the process of converting ecological inputs into economic outputs results in environmental pollution, then it can harm public health . TherefoHDI has been commonly used to measure the well-being output in existing studies. However, sub-indicators of the HDI cover only economic and social dimensions but ignore the importance of environmental well-being. Xiao and Xiao (2021) incorporNotably, the indicators of environmental pollution and total well-being output in this study are selected in large numbers, while the number of decision making units (DMUs) is small. This study adopts the entropy value method to accurately measure the EWP of each county (district or city) within the Poyang Lake area and reduce the dimensionality of environmental pollution and total well-being output. Finally, the indices of environmental pollution, economic well-being and social well-being are obtained.Data for the selected indicators are extracted from the 2008\u20132020 China County and the Jiangxi Provincial Statistical Yearbooks. Data for average years of education are obtained from the sixth and seventh national census bulletins published by the government of each county (district or city). Data on nighttime lighting were obtained from the Harvard Dataverse platform . Data foWe calculated the EWP of 25 counties (districts or cities) in the Poyang Lake area using MAXDEA 6.0 software. We then applied MATLAB R2015b to estimate spatial differences of EWP in the Poyang Lake area.km and kv represent the input and output of the stage k, respectively; k\u03c6 represents the number of intermediate indicators; represents the connection from stage k to stage h; x, y, z and represent the input, output and intermediate output, respectively; k\u03bb represents the model weight of stage k; and k\u03c9 represents the weight of stage k; k\u2212s represents the slack variables of input indicators; and gks and bks represent the slack variables of desired and undesired outputs, respectively.This study adopted a two-stage Super-NSBM model to measuThe DEA window analysis was adopted in this study to measure EWP in the Poyang Lake area and analyze differences in EWP and trend of efficiency changes in each county (district or city) comprehensively. This method first treats the same DMU in varying periods as different DMUs for efficiency calculation. The efficiency of each year in other windows is then weighted and averaged to obtain the final efficiency value of the evaluated DMU. Notably, this method can increase the number of DMU and compare the efficiency in both horizontal and vertical dimensions . On the G) of EWP in the Poyang Lake area is decomposed into intra-regional (intra-basin) differences (jjG), inter-regional (inter-basin) differences (Gjh) and super-variable density (tG) and satisfy: G = jjG + jhG + tG.The Dagum Gini coefficient method improved the shortcomings of the traditional methods of measuring spatial differences and solved the problem of cross-over between samples . It can \u03bc represents the mean value of EWP in each region, n represents the number of counties (districts or cities) in Poyang Lake area, k represents the number of regions, jn(hn) represents the number of counties (districts or cities) in the j(h) region (basin) and jiy(hry) represents the EWP of the i(r) counties (districts or cities) in the j(h) region (basin).jjG denotes the Dagum Gini coefficient of the j-th region (basin), jhG denotes the inter-regional (inter-basin) Dagum Gini coefficient of the j-th and h-th regions, jhD denotes the relative impact of EWP between the j-th and h-th regions (basins), jF(hF) is the cumulative density distribution function of the j-th (h-th) region (basin) and jhd denotes the differences of EWP between regions (basins). The Dagum Gini coefficient varies between 0 and 1. Spatial differences of EWP among counties (districts or cities) in the Poyang Lake area are small as the value of the Dagum Gini coefficient approaches 0 and vice versa.The formula for measuring the Dagum Gini coefficient can be expressed as follows:EWP is still at a low level from the overall perspective despite its rapid improvement in the Poyang Lake area . The aveSpecifically, among 25 counties (districts or cities) in the Poyang Lake area, only Duchang County, Poyang County and Gao\u2019an City demonstrate a decreasing trend of EWP, thereby indicating that the overall EWP in the Poyang Lake area is improving. Among them, Nanchang County, De\u2019an County, Xinjian District and Yongxiu County rank in the top four in terms of annual growth rate at 16.453%, 14.089%, 13.183% and 13.067%, respectively, and all achieved the relatively effective DEA. However, the overall level of EWP in the Poyang Lake basin is pulled down due to the low EWP in Lushan City, Xinjian District and Hukou County and the decreasing trend of EWP in Duchang and Poyang Counties. Similar to that of Duchang and Poyang Counties, the EWP of Gao\u2019an City also exhibits a decreasing trend with an average annual decrease of 1.529%. The average annual growth rate of EWP in Anyi and Wuning Counties was only 1.210% and 0.141%, respectively; hence, the Xiuhe River basin showed the lowest average annual growth rate of EWP among the seven basins.The significantly high results of the Super-SBM model, which takes into account the undesired output from a single-stage perspective, indicated that the two-stage Super-NSBM model selected in this study is accurate and reasonable. Moreover, this study can provide a methodological reference for similar studies that measure multistage efficiency.The EWP of counties (districts or cities) in the Poyang Lake area was generally at a low level in 2007. Only the EWP of Duchang and Poyang Counties were located on the production front surface. At this time, differences in EWP between the lakeside and peripheral area of the lake are small. The range of high EWP counties (districts or cities) in the Poyang Lake area showed an expanding trend in 2011. EWP of Jinxian County, Fuliang County, Leping City, Wuning County and Yujiang District improved. However, the EWP of Duchang and Poyang Counties dropped below 1. The scope of high EWP counties in the Poyang Lake area continued to expand in 2015. The EWP of counties (districts or cities), such as Nanchang County, Guixi City, Yujiang District and Fuliang County, improved significantly. EWP in the Poyang Lake area improved significantly in 2019 and counties (districts or cities) with low-level EWP are mainly located in the peripheral area of the lake. The EWP of De\u2019an County, Yongxiu County and Xinjian District improved to the efficiency frontier surface and the overall level of EWP of the lakeside area was significantly higher than that of the peripheral area of the lake. Thus, the EWP of the Poyang Lake area shows this spatial distribution pattern\u2014\u201chigh EWP counties spread from the lakeside area to the peripheral area of the lake and the EWP of the lakeside area is higher than that of the peripheral area of the lake\u201d\u2014from 2007 to 2019.This study further analyzed the sub-stage efficiency of EWP and the redundancy of input-output indicators in the Poyang Lake area to open the \u201cblack box\u201d of EWP in converting ecological consumption into well-being output.As can be seen from Specifically, the improvement of EWP in the Lakeside area is mainly constrained by the efficiency of economic well-being. Compared with the peripheral area of the lake, the economic level of the lakeside area results in a significantly higher value for eco-economic efficiency because the area is more developed, more technologically advanced and presents stricter environmental protection policies. By contrast, the low EWP in the peripheral area of the lake is mainly due to constraints of eco-economic efficiency. Only the Xinjiang River basin in the region shows higher eco-economic efficiency than economic well-being efficiency. Among the 25 counties (districts or cities), only Poyang County achieved DEA relative effectiveness in both eco-economic and economic well-being efficiencies in 2019. Notably, Dongxiang District\u2019s economic well-being efficiency improves yearly and achieved DEA comparative effectiveness in 2019 despite an eco-economic efficiency of only 0.280. Dongxiang District must improve its eco-economic efficiency to enable coordinated economic, ecological and social development. Jinxian County achieved an effective DEA for economic well-being efficiency but faced the same problem of incompatible economic and environmental development. The eco-economic efficiency of Yogan County, Nanchang County, De\u2019an County, Xinjian District, Yongxiu County and Yujiang District increased beyond the production frontier surface and the efficiency of economic well-being needs further improvement.Although some counties achieved an effective DEA for EWP in 2019, the majority still present a low EWP. Therefore, this study selected 2019 as the time point for redundancy analysis. This section focuses on the redundancy of input-output indicators in counties (districts or cities) with low EWP. Lushan City and Hukou County not only spend too much on education but also produce a large amount of carbon and wastewater emissions in the development process and thus have a low EWP. Low land resource use efficiency, high PM2.5 concentration and per capita sewage discharge and a severe shortage of sanitation technicians in Xinkan County are the main reasons for its low EWP. Zhangshu City, Gao\u2019an City and Dongxiang District not only have higher land consumption, water consumption and pollution discharge but also have redundancy in education expenditure. Guixi\u2019s low EWP is caused by low land resource use efficiency and per capita public finance expenditure, while education expenditure and per capita sewage discharge are too high. There is redundancy in education expenditures in Anyi County and the efficiency of water resources utilization, sewage treatment rate and per capita social security and employment expenditures are below average. Wuning County has excessive consumption of land and water resources and the economic output efficiency of education and science and technology expenditure needs to be improved. Chaisang District and Ruichang City are overly redundant in terms of energy consumption, land consumption, water consumption and spending on science and technology. Their PM2.5 concentration and per capita sewage discharge are also much higher than average. In addition, Chaisang District needs to improve its forest cover and sewage treatment rate to contribute to the improvement of environmental well-being.The analysis results demonstrated that the efficiency of EWP and its sub-stages in the Poyang Lake region differ significantly at the local level. Therefore, this study applied the Dagum Gini coefficient to analyze EWP\u2019s characteristics and sources of spatial differences in the Poyang Lake area.As shown in We decomposed the spatial differences of EWP in the Poyang Lake area in a basin division according to Equations (3)\u2013(11) to illustrate the characteristics and sources of spatial differences further. The annual average values of inter-basin differences in EWP in the Poyang Lake area from 2007 to 2019 are listed in Finally, we analyzed the intra-basin differences of EWP in the Poyang Lake area. The Dagum Gini coefficient of the Fuhe River basin is 0 from 2007 to 2019 given that it only contains Dongxiang District; therefore, the intra-basin differences of EWP in the Fuhe River basin are not shown in The sustainable development status of the Poyang Lake area has attracted considerable research attention since the State Council of China approved the Poyang Lake Eco-economic Zone Plan in 2009. However, there is no study in existing research to analyze the sustainable development of the Poyang Lake area through EWP. In this study, a two-stage Super-NSBM model was applied to divide the process from resource input to well-being output into two stages and then analyzed the EWP of the Poyang Lake area. Compared with the study of Long (2019) , who alsAlthough the EWP of the Poyang Lake area demonstrates an improving trend from 2007 to 2019, the overall level is still low. Most counties have problems of over-input of natural resources and environmental pollution. At the same time, counties should beware of over-investment of funds, which fails to improve EWP significantly and may lead to increased debt. Specifically, each county and region should apply differentiated measures. Lushan City and Hukou County must reduce excessive spending on education, introduce advanced technology and promote the green transformation of industries. Xinkan County should improve land use efficiency, increase the number of health technicians and strictly limit PM2.5 and wastewater emissions from enterprises. Zhangshu City, Gaoan City and Dongxiang District must reduce land and water consumption, minimize education expenditure redundancy and limit pollution discharge. Guixi City should improve land use efficiency and public finance expenditure, reduce education expenditure redundancy and limit wastewater discharge. Chaisang District and Ruichang City must reduce the consumption of various resources and pollution discharge and increase the forest coverage and sewage treatment rate. Anyi County should pay attention to the utilization of water resources and wastewater treatment, improve the efficiency of education expenditures and increase social security and employment expenditures. Wuning County must reduce the consumption of land and water resources and excess spending on education, science and technology.The differences of EWP and its sub-stage efficiency and indicator redundancy among counties and districts confirmed that EWP in the Poyang Lake area indeed has spatial differences at the local level. The widening spatial differences in eco-economic efficiency are a significant reason why the spatial differences of EWP in the Poyang Lake area are still apparent. Meanwhile, we found that inter-basin differences are the primary source of spatial differences in EWP in the Poyang Lake area. Therefore, the policy focus of the future coordinated development of the EWP region in the Poyang Lake area should be to introduce a cross-regional collaboration mechanism. Regions with advantages in production efficiency, technology level and resource endowment are targeted to help lagging areas to smooth their development mode and realize green economic transformation. The government should also actively help lagging regions increase their income, improve infrastructure construction and social security systems and enhance people\u2019s well-being. Finally, strengthening the construction of ecological civilization within each basin, establishing regional environmental regulatory agencies and establishing long-term cooperation for sustainable development are crucial to avoid intra-basin spatial disparities from widening while narrowing inter-basin differences.However, this study also has some limitations. Regarding the selection of well-being indicators, due to the lack of survey data on subjective well-being in the Poyang Lake area, we can only select objective well-being indicators. Our future research direction is to investigate residents\u2019 subjective well-being in the Poyang Lake area and then analyze EWP by combining subjective and objective well-being indicators. Besides, applying the system dynamics method to the analysis of EWP in the Poyang Lake area is also worth exploring.The main conclusions of this research are as follows.First, the EWP of the Poyang Lake area shows an improving trend from 2007 to 2019, but the overall level is still low. The EWP of all seven basins failed to achieve DEA effectiveness. The spatial distribution of EWP in the Poyang Lake area shows this apparent pattern\u2014\u201cthe high EWP counties spread from the lakeside area to the peripheral area of the lake and the EWP in the lakeside area is higher than that in the peripheral area of the lake.\u201dSecond, there is a complex problem of uncoordinated development between the economy, ecology and society in the Poyang Lake area as a whole. The low eco-economic efficiency mainly constrained the improvement of EWP in the Poyang Lake area and the redundancy of resource input and environmental pollution were more severe in all counties and districts in general. The eco-economic efficiency of the lakeside area is higher and the primary goal is to coordinate the relationship between economy and well-being to promote the efficiency of economic well-being. The redundancy analysis revealed that measures to improve EWP varied across counties.Third, the spatial differences of EWP in the Poyang Lake area are gradually decreasing and show the overall trend of coordinated development. However, the spatial differences of eco-economic efficiency are progressively expanding, resulting in the spatial differences of EWP in the Poyang Lake area at the local level being still evident. Inter-basin differences are the primary source of spatial differences in the Poyang Lake area\u2019s EWP. Reducing the inter-basin differences of EWP in the Poyang Lake area while avoiding the elevated intra-basin disparities is crucial."}
+{"text": "S\u20136. Se.g.iologies , 8.Alkabie and Budrham reviewed the methodologies used for the testing of the two most common antibody-associated demyelinating myelitis, namely myelin oligodendrocyte glycoprotein antibody-associated disease (MOG-AD) and aquaporin-4 (AQP4) positive neuromyelitis optica spectrum disorders (NMOSD). They compare the performance of fixed and live cell-based assays, the yield of antibody detection in different specimens , and address the important topic of antibody titer cut-offs, which is particularly relevant for diagnostic accuracy of MOGAD. This latter point is also at the core of the original research of Manzano et al., who investigated the positive predictive value of serum anti-MOG antibody testing in a real-world institutional cohort, using well-established live cell-based assays. While on one hand the authors identify an assay cut-off 1:40 as the one yielding the highest positive predictive value, they also noted a sizeable number of cases with phenotype aligned with typical MOGAD that would have been missed with the use of such threshold, underscoring the need for further work in the optimization of diagnostic assays.For this Research Topic, the characteristics of different immune-mediated myelopathies and common associated diagnostic tests have been extensively reviewed. Cacciaguerra et al. provide an overview of the key imaging features, pitfalls and mimics of the most common demyelinating syndromes and of some rare, recently characterized immune-mediated myelopathies. Recent years have seen an exponential rise in the number of biological agents that can be applied for the treatment of systemic inflammatory disorders and malignancies, and neurologists are increasingly challenged by possible secondary neurological manifestations of these treatments. This expanding field of iatrogenic myelopathies is the focus of the review of Gritsch et al., which provides useful recommendations for workup and management, while Passeri et al., provide an in-depth discussion of paraneoplastic myelopathies. Recognizing these rare but important causes of myelopathies has important treatment implications, and is now particularly relevant as the testing for many of the associated antibodies has become commercially available in the United States. Lastly, Fadda et al. compare the typical evolution, clinical and radiological short and long-term outcomes of spinal cord involvement in multiple sclerosis, MOGAD and AQP4 antibody positive NMOSD, emphasizing the importance of accurate diagnosis and prompt treatment initiation to alter the disease course of these disorders.These articles altogether highlight how, even in the presence of useful biomarkers, the diagnosis of immune mediated myelopathies rests on clinical acumen, and the recognition of characteristic disease features remains the fundamental step to achieve diagnostic accuracy. To aid clinicians in the differential diagnosis of inflammatory myelopathies, Our knowledge on many of the immune-mediated myelopathies discussed in these articles is still at its early stages, and many spinal cord syndromes observed in clinical practice continue to be labeled as idiopathic. While this field will likely continue to evolve in the upcoming years, physicians should familiarize with the current landscape of immune mediated myelopathies, as prompt recognition of these syndromes and early and targeted therapies are often key to provide the most optimal patient outcomes.GF, EF, and ES: study concept, design, and drafting the manuscript and figures. All authors contributed to the article and approved the submitted version.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest.All claims expressed in this article are solely those of the authors and do not necessarily represent those of their affiliated organizations, or those of the publisher, the editors and the reviewers. Any product that may be evaluated in this article, or claim that may be made by its manufacturer, is not guaranteed or endorsed by the publisher."}
+{"text": "The first part of the SSNN Summer School of Neurology 2022, which covered the first day's events, is highlighted in a previous publication.Natan Bornstein (Israel) and Dafin Muresanu (Romania). The beginning session of the day, Session 5, started with Natan Bornstein (Israel), the Director of the Brain Division and Chairman of the Israeli Stroke Society (ISS), and his two presentations: \"Secondary Stroke Prevention \u2013 The DAPT Story \u2013 A Journey of 25 Years\" and \"Post-stroke cognitive decline \u2013 current concepts and treatment approaches\". Prof. Bornstein firstly stated the importance of tertiary prevention of stroke with the syntagm \"don't let stroke strike twice\", as stroke represents a major cause of long-term disability, and went further into discussing current guidelines and the long-term story of Dual Antiplatelet Therapy (DAPT) research, beginning back in 1996. His second presentation discussed treatment options following ischemic stroke, highlighting the lessons from double-blind randomized trials in patients with acute mild ischemic stroke or high-risk Transient Ischemic Attack (TIA). Moreover, as post-stroke depression (PSD) represents the most frequent non-cognitive neuropsychiatric complication and is associated with higher mortality, poorer recovery and decreased quality of life, the investigation of its mechanisms remains a subject of utmost importance. Due to this, approaches should be multidimensional, involving a multidisciplinary team for the best results.The second day of the congress was introduced by Dafin Muresanu (Romania), President of the The European Federation of NeuroRehabilitation Societies (EFNR), presented microcirculation and stroke and discussed the 3 crucial pillars in neurorehabilitation and brain protection and recovery:Developing a solid theory and strong hypothesis, validating the ideas with basic research;Testing the effectiveness of the intervention;Using evidence-based parameters.He then pinpointed two critical aspects of rehabilitation: the limit of the disability and the individual biological reserve. In addition, the importance of creating promising paradigms and protocols for treatments and aligning the mechanisms of action with the design was showcased, and the two anticorrelated sequences of post-lesional brain regulation (NEUROPROTECTION and NEURORECOVERY) were also highlighted. Moreover, Prof. Muresanu discussed endogenous defence activity, damage mechanisms, and the levels of central nervous system (CNS) endogenous modulation. One crucial point touched upon was the importance of the proportion and interactions as more relevant factors than the separate effects of each function. Furthermore, he offered an in-depth view of the anticorrelated processes of 3 different levels, discussing the vertical correlation between functional and gene networks. The principal therapeutic approach in acute ischemic stroke was also outlined, which refers to:Arterial revascularization;The substantial predictive effect on clinical outcomes of the final recanalization;The factors on which brain tissue perfusion depends.European Federation of NeuroRehabilitation Societies (EFNR).In his comprehensive presentation, he discussed the combination of approved methods, avenues for enhancing thrombolysis, and the role of Cerebrolysin in inhibiting endogenous inflammatory pathways. Prof. Muresanu closed the session with a lesson on performing neurorestorative treatments with extended therapeutic windows and recommended that specialists work together in integrative approaches, highlighting the role of the th session, hosted by Dafin Muresanu and Adina Stan, began with the presentation of Jesse Dawson (UK), Professor of Stroke Medicine at the Institute of Cardiovascular and Medical Sciences in Glasgow (UK) on \"Stimulation (neuromodulation) for post-stroke recovery\". Prof. Dawson highlighted that there are many mechanisms for upper limb impairment, therefore, many avenues for recovery. As a result, the interventions should be related to the cause of impairment. The approach in stroke rehabilitation refers to causing task-specific plasticity, as neuro-connectivity and activity are altered post-stroke. Also, with plasticity being task-specific, neuromodulation \u2013 the alteration of neuro-activity to target the delivery of a stimulus to specific neurological sites \u2013 encompasses both advantages and disadvantages, showcased in his presentation. Prof. Dawson discussed different types of stimulation and their respective roles and effects, as well as approached VNS (vagus nerve stimulation) after ischemic stroke for upper limb motor function, highlighted in his research.The 6Andreas Winkler (Austria), Medical Director and Head of Department in Neurological Rehabilitation at Klinik Bad Pirawarth in Vienna (Austria), presented \"How can we be more efficient in motor recovery after stroke?\". Prof. Winkler discussed the possibility of improving endogenous plasticity and introducing a new window of opportunity to obtain a better neurological outcome for the patient. He approached the enhancement of post-stroke plasticity and the limitations of current undertakings, including selective serotonin reuptake inhibitors (SSRIs), and discussed three clinical trials to highlight his previous point. Moreover, he showcased the usefulness of Cerebrolysin in stroke patients as outlined by different medical societies and the shift from past approaches to this innovative agent, underlining the positive effects of Cerebrolysin on neuroplasticity. The role of Brain-derived neurotrophic factor (BDNF) as a biomarker in stroke and the enhancement of post-stroke plasticity through electrical stimulation were also tackled. One important point of his presentation was combining different approaches to boost plasticity.Adina Stan (Romania), Primary Neurologist and Lecturer of Neurology at the University of Medicine and Pharmacy Iuliu Hatieganu in Cluj-Napoca (Romania), presented a case study on stroke, showcasing the disease progression and process of examination, discussing the affections of the patient, and engaging the public to suggest the most probable diagnosis based on the available information. She also tackled the differential diagnosis, discussed the TOAST classification of stroke subtypes and underlined the role of stroke prevention. Following her presentation, Hanna Dragos (Romania), from Cluj-Napoca Emergency County Hospital (Romania), offered an inspiring approach to a rare disease, discussing the symptoms, disease progression, medical history examinations, and, similarly, asked for public input on the most likely diagnosis. Finally, after covering multiple aspects, she touched upon the molecular genetic diagnostic pathway for stroke-like episodes and the management of the disease.th session, presided by Cristina Tiu (Romania) and Rodica Balasa (Romania), Cristina Tiu (Romania), Head of the II Neurology Department and Head of the Neurology Discipline at the Neurology Clinic from the Bucharest University Emergency Hospital in Bucharest (Romania), introduced the public to her presentation \"About immunosenescence and inflammaging in multiple sclerosis (MS). Therapeutic options in older patients\". With elderly patients being a challenging population and real-life patients differing from those presented in clinical studies, complex and multimodal approaches to diagnostics and treatment are needed. Prof. Tiu discussed the prevalence of MS and various epidemiological characteristics, the immunosenescence of innate immune systems, the meningeal inflammation, and the influence of age on the pathophysiology of MS and imaging features for identifying comorbidities. Two scenarios were tackled: (1) diagnosis at older age vs. (2) patients with known MS who are aging naturally, with particularities detailed for each. Finally, she argued whether the discontinuation of immunomodulatory therapy is recommended in patients over 60 years of age from a therapeutic perspective, pinpointing the aspects of biological age, epigenetic factors, and lifestyle strategies.During the 7Mihaela Simu (Romania), Professor and Chairman of the Neurology Department II \u2013 the University of Medicine and Pharmacy Victor Babes in Timi\u0219oara (Romania), presented \"Cognitive impairment in MS \u2013 from theory to practice\". Historical notes, statistical facts, and the science of cognition and neuropsychology were discussed first. The presentation then focused on statistical data on cognitive deficits in MS and various neuropsychiatric aspects of the disease, with an outline of the neuropsychological patterns in MS cognitive impairment according to phenotypes and the similarities of cognitive profiles of different MS phenotypes. Further on, Prof. Simu offered a view into the types of cognitive deficits, assessment of MS, and the prevalence of cognitive deficits in MS depending on the subtype, mentioning the pediatric population. The classification of MS and the various tests and screening methods were also discussed, and the presentation ended with recommendations for cognitive impairment (CI) evaluation in MS, as CI is a common feature of MS, which direly impacts patients' quality of life, with 40\u201370% of patients affected at any time during the course of the disease.Rodica Balasa (Romania), the Head of the Neurology 1 Clinic at the Emergency Clinical County Hospital of Mures (Romania), ended the session with \"Plasmatic exosomal microARN from brain cells in the evaluation of immunological treatment in multiple sclerosis patients\". During her presentation, Multiple Sclerosis (MS) was discussed, its impact \u2013 as the leading cause of chronic neurological handicap in young adults \u2013 was showcased, and the difficulty in treatment due to its heterogeneity and the unknown aetiology as a probable result of the interplay of several different factors were touched upon. Prof. Balasa tackled the role of inflammation in demyelination and axonal loss, the processes of neurodegeneration and remyelination, and highlighted disease-modifying therapies, underlining that the best choice for the patient is based on the specific biological mechanism of CNS inflammation. As a result, the best-suggested response is precision medicine.Hari Shanker Sharma (Sweden), the Director of Research at the International Experimental Central Nervous System Injury & Repair (IECNSIR) from the University Hospital, Uppsala University (Sweden), presented \"Methamphetamine exacerbates Alzheimer's disease pathology\". Neuroprotective effects of nanowired Cerebrolysin with Neprilysin, discussing the particularities of the blood-brain barrier in the Alzheimer's disease and the effect of methamphetamine. As Alzheimer's disease (AD) represents a devastating neurological affection leading to lifetime disability, investigating the risk factors, which can accelerate the pathogenesis of AD, including substance abuse, is of utmost importance. Prof. Sharma also focused on the effects of methamphetamine intoxication on the spinal cord and the rapid morphological changes after acute intoxication, highlighting his research on the matter.The last session of the day, Session 8, was introduced by Hari Shanker Sharma (Sweden) and Xianshuang Liu (USA). First, Xianshuang Liu (USA), Associate scientist at the Department of Neurology from the Henry Ford Hospital, Detroit (USA), offered his presentation together with Michel Chopp (USA), Vice Chairman for Research of the Department of Neurology and Scientific Director at the Henry Ford Neuroscience Institute, Detroit (USA), on \"Exosomes enhance the coupling of neurogenesis and angiogenesis by transfer of microRNA\", where the functions and uses of exosomes were explained, the process of neurogenesis and angiogenesis described, and the impact of stroke on their association was tackled.Ioana Mandruta (Romania), the Head of the Epilepsy Monitoring Unit at the University Emergency Hospital of Bucharest (Romania), presented \"Semiology of epileptic seizures \u2013 the new glossary of terms\". Prof. Mandruta discussed epilepsy, its subtypes, the classification of seizures, the need to address the terminology, and presented a case with epilepsy. She explained the definition of myoclonic jerks, offering examples, discussed seizures with focal onset and the appearance of seizure symptoms based on the affected part of the brain, and provided a glossary definition of elementary motor signs. Further on, Prof. Mandruta presented complex motor behaviors, subjective ictal symptoms, also called \"aura\", autonomic events, and the localization of seizure generators. Moreover, she exemplified another case of seizures with impaired consciousness and the exploration of the patient. Finally, she discussed temporal lobe epilepsy and posterior cortex epilepsy, ending with additional case studies on patients with epilepsy.Peter Jenner (UK), Emeritus Professor at the Institute Of Pharmaceutical Sciences from the Faculty of Life Sciences and Medicine at King's College in London (UK), presented \"Can we develop non-dopaminergic approaches to the treatment of Parkinson's disease?\" and began his lecture with a discussion on \"breaking out of the dopaminergic box\", highlighting the need for more complex approaches to PD and suggesting a multimodal pharmacological perspective as the best way in the future. Dopaminergic approaches dominate the field as they are highly effective for this disorder but can lead to complacency, considering there are still some needs in PD that cannot be treated with a dopaminergic approach. He suggested that although the dopaminergic treatment helps non-motor symptoms it is not the complete solution, and discussed safinamides as a treatment option. An essential point of his presentation was that there are non-dopaminergic components to both motor and non-motor symptoms of Parkinson's disease. Cristian Falup-Pecurariu (Romania), the Head of the Department of Neurology at the County Clinic Hospital from Brasov (Romania), presented \"Autonomic dysfunction in Parkinson's disease\", discussing the spectrum of dysautonomia symptoms in PD and the prevalence of different symptoms (dependent on study methodology). Parkinson's Disease (PD) has a wide variety of non-motor symptoms and one of the frequently encountered ones \u2013 autonomic nervous system dysfunction \u2013 direly impacts the quality of patients' lives. In advanced stages, dysautonomia significantly impacts the activities of daily living. He then discussed the relationship between disease progression and survival rates of autonomic dysfunction and dysautonomia in patients with a high risk of PD, pinpointing on the autonomic dysfunction and disease severity. Methods of dysautonomia assessment and specific symptoms were additionally presented. Comprehensive approaches to treatment management were showcased.Alla Guekht (Russia), Director at the Moscow Research and Clinical Center for Neuropsychiatry in Moscow (Russia), presented \"Post-stroke cognitive impairment and dementia \u2013 Treatment challenges\", addressing epidemiology, the populations at risk, potential targets, prevention, treatment, and current strategies and perspectives. As the population is growing older, people 65 and over represent the fastest growing group, posing several issues, with post-stroke cognitive dysfunction representing an important factor of morbidity. With shifting demographics, increased post-stroke survival and life expectancy can also mean an increased number of patients with post-stroke cognitive impairment. Prof. Guekht discussed the importance of implementing results for clinical trials in different groups and addressing the challenges and unresolved issues in post-stroke cognitive decline. For this, the trajectory is of utmost importance. The complexity of the affection requires combined approaches and assessment at different time points, as well as consideration of the emotional and cognitive problems. She presented some risk factors that increase the magnitude and speed of post-stroke cognitive decline, highlighting early seizures after stroke and the post-stroke development of epilepsy. The relationship between stroke location and cognitive outcomes, the association of cognitive impairment with early seizures, and the multidomain lifestyle interventions to prevent cognitive decline after stroke were also subjects touched upon. Moreover, Prof. Guekht encouraged integrative approaches in diagnosing and treating neurological disorders and discussed the need for increased research and more clinical trials to address the best strategies for post-stroke cognitive impairment.Jozsef Szasz (Romania), Associate Professor at the Department of Neurology at George Emil Palade University of Medicine, Pharmacy, Science and Technology of Targu Mures (Romania). He described the Romanian context for testing and initiating therapy by means of a multicenter study from 9 university teaching hospital centres on 113 patients. The presented research demonstrated the effects of therapy on patients with advanced Parkinson's disease. Prof. Szas detailed his research on the matter, highlighting, through video presentations of the patients over the years, the effects of the treatment.Next, Session 10, presided by Jozsef Szasz (Romania) and Cristian Falup Pecurariu (Romania) was introduced with a presentation on \"Management of advanced Parkinson's disease with Levodopa intestinal gel\" by Dafin Mure\u0219anu (Romania), the president of the European Federation of NeuroRehabilitation Societies (EFNR) and Chairman at the Department of Neurosciences from Iuliu Hatieganu University of Medicine and Pharmacy in Cluj-Napoca (Romania), then presented \"Is neurorehabilitation useful in Parkinson's Disease?\". Prof. Muresanu began with an introduction to brain functions and the shifting paradigm in neuroscience, offering a brief parallel between the physics and biology approaches in neuroscience. He further discussed the three circuitries of the nervous system, namely the limbic, the associative, and the sensorimotor, underlining the importance of said mechanisms working in harmony. Next, Prof. Muresanu masterfully described the \"small-world\" network organization of the brain, the endogenous modulation based on balancing anticorrelated processes, and the interrelation between the brain's levels of organization. Further on, he discussed basal ganglia and behavior regulation, the relationship between dopamine and executive dysfunction, and the relationship of rehabilitation with the biological reserve, highlighting the differences between the classic medical model and the rehabilitation model. Moreover, prof. Muresanu pinpointed the role of restoration versus compensation in neurorehabilitation, the specialists needed for developing a comprehensive rehabilitation team, and the functional rationale for neurorehabilitation in Parkinson's Disease. Prof. Muresanu also discussed guidelines for occupational therapy in PD, mentioned the importance of cueing in the rehabilitation process, and ended on a brief note on neurorehabilitation in different PD stages.Stanislav Groppa (Moldova), Head of Neurology Department at the State University of Medicine and Pharmacy Nicolae Testemitanu in Chisinau (Republic of Moldova) presented \"Nonconvulsive Status Epilepticus \u2013 A Complex and Often an Under-Recognized Entity\". Prof. Groppa discussed status epilepticus as a neurological emergency and a challenge of modern neurology, as the condition is difficult to delimit, and current clinical options remain unsatisfactory. This affection is often unrecognized, leading to delays in diagnosis and treatment, mostly due to failure to request an electroencephalogram (EEG). He showcased issues in diagnosis, the role of EEG on epidemiology, and pinpointed \"borderline syndromes\" where electrographic convulsive activity appears without obvious clinical seizures. The discussion then centered around the primary forms (nonconvulsive and convulsive), their causes, the trigger factors, clinical manifestations \u2013 including chameleon presentation and mimic disorders. Furthermore, he approached the management, complications, and treatment recommendations for this disorder, the need for tailored interventions, the importance of research with prospective studies on the effects of extended continuous EEG monitoring on outcomes and cost-effectiveness strategies for early identification and treatment.Adina Roceanu (Romania), Primary Neurologist and Research Scientist at the Neurology Department from the University Emergency Hospital Bucharest (Romania), on migraine treatment. Beginning with the definition and symptoms of migraines, she offered insight into one of the most common affections for the larger population. Prof. Roceanu discussed the classifications of migraines with and without aura, highlighting specific criteria for each of the two presentations. She underlined related affections, including chronic migraines and medication-overuse headaches, while also showcasing the clinical phases of migraines and the role of specific agents in their treatment. Dr. Roceanu ended her presentation with a mention of some non-pharmacological approaches which are appropriate in situations where pharmacological treatment proves ineffective.The following session, Session 11, introduced by Adina Roceanu (Romania) and Corina Roman (Romania), began with a presentation by Corina Roman (Romania), the Head of the Neurology Department at the County Hospital Sibiu (Romania), approached case presentations on secondary headaches. Prof. Roman discussed the international classification of headache disorders, the general principles, and the pharmacological agents that can cause headaches. She described red flags suggestive of secondary aetiology of headache in patient history and introduced clinical case presentations on headaches attributed to arteriovenous malformation, headaches caused by cerebral tumors, and patients with MS with associated secondary trigeminal neuralgia. Prof. Roman suggested that headache is prevalent and headache disorders are among the most common signs of nervous system disorders, making it vital to consider the patient history, neurological examinations, and the SNOOP mnemonic as the best predictors of pathology.Vitalie Vacaras (Romania), Lecturer of the Neurology and Pediatric Neurology Discipline at the Iuliu Hatieganu University of Medicine and Pharmacy in Cluj-Napoca (Romania) presented \"When headache hides neurocysticercosis \u2013 Case presentations\", an interesting clinical case with some unexpected characteristics. He began by discussing cysticercosis \u2013 what it is, what some of the risk factors and its most common manifestations are \u2013 and followed with the specific case, detailing the diagnostics and examination of the patient, the prognosis of the disease, initial treatment, evolution, and outcomes, discussing the implications and rationality for choosing the previously mentioned case.Catalin Jianu (Romania), Professor of Neurology, Head of the First Department of Neurology, and Head of Advanced Research Centre for Cognitive Research in Neuropsychiatric Pathology at the Victor Babes University of Medicine and Pharmacy in Timisoara (Romania), \"An integrated approach on the diagnosis of cerebral veins and dural sinuses thrombosis\", in which Prof. Jianu began by offering the public information on the epidemiology of the disease. Then, he discussed cerebral veins anatomy, the anatomy of intracranial dural sinuses, the aetiology and risk factors, genetic and acquired thrombophilia, the most common risk factors, and the impact of COVID-19. Next, he covered the pathophysiological mechanisms leading to the clinical presentation of cerebral venous thrombosis (CVT), and also discussed clinical diagnosis, the importance of laboratory data and tests, and imaging methods. Further on, Prof. Jianu presented the experience of the hospitals, an analysis of 70 patients admitted between 1998 and 2021 and the results, as well as a review of an integrated approach to the diagnosis of cerebral veins and dural sinuses thrombosis. He then showcased another case review on cavernous sinus thrombosis in a woman with inherent thrombophilia and one on acute isolated lateral sinus thrombosis. One important takeaway from his presentation was that a comprehensive clinical spectrum with an often-misleading presentation might cause diagnosis delays.The last session of the event, Session 12, presided by Catalin Jianu (Romania) and Vitalie Lisnic (Republic of Moldova), was introduced with the presentation of Mihail Gavriliuc (Republic of Moldova), Professor of Neurology and Chairman of the Neurology Department from the State University of Medicine and Pharmacy Nicolae Testemitanu in Chisinau (Republic of Moldova), presented on Neuroborreliosis, an antropozoonosis also known as Lyme disease. Prof. Gavriliuc discussed the aetiology of different species of Borrelia, the biological basis and different presentations, Lyme disease vectors, and the deer tick's life cycle. He approached epidemiology, pathogenesis and pathophysiology, and clinical manifestations for early and late neuroborreliosis. He highlighted the Bannwarth triad symptoms and outlined differential diagnosis of Lyme neuroborreliosis, diagnostic workup, the management of the disease in the early and late stages and the importance of individualized therapies.Vitalie Lisnic (Republic of Moldova), Professor of Neurology at the Nicolae Testemitanu State University of Medicine and Pharmacy in Chisinau (Republic of Moldova), ended the congress with his presentation \"Wilson disease \u2013 a constellation of phenotypes\". First, he discussed the history of the disease, its aetiology, prevalence, and other epidemiological aspects and highlighted the clinical picture and the existence of a delay in diagnosis. Further on, Prof. Lisnic described hepatic, psychiatric, ophthalmic, and neurological manifestations, followed by methods of diagnosis. Lastly, he presented clinical cases and treatment with different cure options for various presentations and discussed new treatment avenues. One fascinating insight of his proceedings is an algorithm for treating Wilson's disease. He ended by stating the importance of investigating Wilson Disease (WD) in any patient with neuropsychiatric manifestations of unknown cases. The disease can be fatal without therapy, yet treatment has an excellent prognosis.The conclusions of the event were drawn by Dafin Mure\u0219anu (Romania), Natan Bornstein (Israel), Volker Homberg (Germany), and Wolfgang Grisold (Austria), with Prof. Muresanu sharing his hopes for an in-person next edition of the Summer School of Neurology. Prof. Muresanu touched upon the possibility of future hands-on programs and extended his gratitude to everyone who contributed to the development of the program."}
+{"text": "Dear Editor,Plasma Cell Cheilitis (PCC) is a rare inflammatory disorder of unknown origin within the spectrum of plasma cell mucositis. Clinically, it manifests as a circumscribed, flat to slightly raised, eroded erythematous plaque or patch involving the lower lip of elderly male patients.An otherwise healthy 52-year-old man, an agricultural worker, was referred to our hospital with a ten-year history of painful erythematous erosion on the lower lip. Physical examination revealed an erythematous plaque with diffuse desquamation along with erosions and crusts A. DermosOne of the main differential diagnoses in the context of our patient was Actinic Cheilitis (AC) or even progression to Squamous Cell Carcinoma (SCC). Dermoscopy could be a useful tool to help differentiate these entities. We found some similarities between our case and the previously reported regarding border regularity and vascular enlargement and proliferation.Although PCC is considered a benign disorder is usually refractory to various topical treatments, including topical and intralesional corticosteroids, topical calcineurin inhibitors, antibiotics, and antifungal agents.None declared.Daniella Truffello: Approval of the final version of the manuscript; critical literature review; data collection, analysis, and interpretation; intellectual participation in propaedeutic and/or therapeutic management of studied cases; study conception and planning.Carolina Cevallos: Approval of the final version of the manuscript; critical literature review; effective participation in research orientation; manuscript critical review; preparation and writing of the manuscript; study conception and planning.Claudio Escanilla: Approval of the final version of the manuscript; critical literature review; effective participation in research orientation; intellectual participation in propaedeutic and/or therapeutic management of studied cases; manuscript critical review; study conception and planning.Pauline Morgan: Approval of the final version of the manuscript; data collection, analysis and interpretation; intellectual participation in propaedeutic and/or therapeutic management of studied cases.None declared."}
+{"text": "Based on the panel data of thirty-one provinces in China from 2003 to 2020, we constructed an evaluation index system of urban-rural integration development level from the perspective of factor flow. The combined weighting model of GI and CRITIC were used to evaluate the regional urban-rural integration development. The coefficient of variation and panel fixed effect model was used to explore convergence, absolute convergence, and conditional convergence. The impact of capital, labor, and technology factor flow on the convergence of urban-rural integration development level was further investigated. In addition, the difference analysis in time scale and impulse response function analysis was performed to explore the regular pattern of factor flow on the convergence of urban-rural integration development. The main conclusions were as follows: first, the growth of urban-rural integration development had an absolute convergence trend and tended to conditional convergence faster. Second, the capital flow positively affected the convergence of urban-rural integration development, while labor and technology flow had a slowing effect on the convergence of urban-rural integration development at this stage. Third, the impact of factor flow on the convergence of urban-rural integration development was dissimilar during different phases. The convergence rate of urban-rural integration development after 2012 was drastically slower than before. The urban-rural disparity is a critical headspring of social structure differences. For a long time, \u201cUrban bias\u201d has existed and been popular due to people's wrong concepts and restrictions of development. In recent years, problems have become more and more apparent, like the gap between rural and urban economic development is increasingly widening, and the rural economy has been aggravating in some areas. The proportion of urban population and output rises due to the \u201cSiphoning effects.\u201d Agriculture has languished and lost development vigor, and rural areas face the issue of growing depopulation . The ecoOne of the important performances is the unbalanced development between urban and rural areas and inadequate development in rural areas. Promoting the integrated urban-rural development is the key to alleviating the unbalanced and inadequate development between urban and rural areas and the objective requirement of ensuring common prosperity between urban and rural residents. Urban and rural integration breaks the contrary state of the urban-rural dual structure and gradually realizes the rational flow and optimal combination of factors in urban and rural areas. Urban-rural coordinating development had been proposed as a strategy as far back as 2002. \u201cPromote the integration of urban and rural development\u201d was proposed in 2012. Furthermore, on this basis, integrated urban and rural development was proposed in 2017, emphasizing the interaction of urban and rural factors. The evolution of the policies might fully embody the development of cognition on urban-rural relations [Factor mobility between urban and rural areas might change the fundamental structure of urban and rural elements, influence the evolution of urban-rural relations, and then affect urban-rural integration development. At the micro-level, factor flow might put idle resources to work, promote balanced marginal returns growth in urban and rural elements, and realize complementary functional advantages and maximization of integral benefit . At the Along with the development of urban-rural relations, the concept of urban-rural integration is continually developed . FurtherIn recent years, the study on the flow of urban and rural factors has been roughly divided into three aspects . Some stIt is normal to have a certain degree of development gap in social and economic development , 22. HowIn short, other studies on the overall development of urban and rural areas and their index systems cover three dimensions: society, economy and ecology, mainly adopting the ratio of urban and rural indicators, and then making a descriptive analysis of the results. The research on the combination of urban-rural integration and factor flow focuses on the internal logic and relationship, lacking specific empirical research. The possible marginal contributions of this paper are as follows: Firstly, given that urban and rural areas are two different social forms, the state indicators and dynamic indicators showing the integrated of urban-rural development are added on the basis of the mainstream of urban-rural comparative indicators in the past; the spatial integration dimension is added to the indicator system for the closer spatial connection between urban and rural areas. Secondly, from the perspective of factor flow, this paper analyzes the regional gap and convergence of the integrated urban-rural development. It also further explores the differences of labor, technology, and capital factor flow on the integrated urban-rural development convergence, which not only provides reference for further promoting integrated urban-rural project but also provides theoretical support for guiding the free and orderly flow of factors. Thirdly, by means of using provincial data, this paper examines the distribution and convergence of the overall integrated urban-rural development at a macro level, and explores the influence of the flow of factors between urban and rural areas in different provinces on the overall integrated urban-rural development and regional economy.From the perspective of spatial evolution, the difference of factor resource endowment between urban and rural areas is the initial reason for the low level of urban-rural integration development. With the advancement of industrialization, the centripetal force formed by the city's market effect and price index effect makes the factors gather in the urban area, which gradually improved the production conditions and quality of life in urban area. The flow of factors promotes rapid urban economic growth. At the same time, this process also accelerates the process of element agglomeration. Once the accumulation of factors in urban reached a specific size, the cost of living and production in cities is gradually rising, which might create centrifugal forces and crowding effect, and progressively transfer factors to rural areas, promote rural economic development, narrow the development gap between urban and rural areas, and improve the development level of urban-rural integration. By promoting the two-way flow of urban and rural factors in various regions, urban-rural integration development gradually balances. Finally, the convergence of urban-rural integration is realized. Our growth function of urban-rural integration development level is as follows:yt+1i \u2212 ln\u2009\u2009yti) is affected by the urban-rural integration development level (yti) of the region and the gap between areas ) and other factors (xti). The gap between areas is affected by the stock and flow of labor, capital, and technology. Based on this, Hypothesis 1 is proposed in this study.\u2009 H1: factor flow might play a critical role in converging urban-rural integration development.As shown in the above formula, the growth of urban-rural integration development level Hti indicates the natural growth (WHti \u2212 WHtj/WHts) and suggests the transfer ratio caused by the reward gap of H factors between regions. The scale of labor mobility increases with the increase of the pay gap. However, there is an upper limit on labor transfer. The congestion function is defined as m = Ht + (Lt/Nt)Nt+1 = (1 + \u03c6)Nt, indicating that the regional population capacity limits the proportion of labor mobility. Similarly, the meaning of the labor mobility equation is similar to that of H. When the pay gap between regions of H factor is higher than that in L, its proportion of labor transfer is also higher. With the increase H, the scale of subsequent labor flow is limited in places of influx and finally the number of H and L reaches a balance in the process.The above formula /Rts). The former fixed capital transfer is multiplied by the realization coefficient t based on this proportion. Therefore, the simplified form of capital transfer equation is as follows:The capital transfer is affected by the differences in regional interest rates. It is worth noting that fixed and new capital transfer speed is different. It is assumed that the transfer proportion of new capital i is lower than in region j, the item (Rti \u2212 Rtj) becomes negative. Currently, the elements in the j area show a trend of backflow. Affected by the difference of interest rates between regions, the capital flow might promote the capital flow, which affects both the regional economic development and the urban and rural integration and development. Based on this, hypothesis 2b is proposed:\u2009 H2b: capital flow has a critical impact on the convergence of urban-rural integration development.As shown in the above formula, when the interest rate in region Technology transfer is affected by the proportion of science and technology funds in financial expenditure (the rate of technology investment). Like the above capital transfer equation, the simplified form of the technology transfer equation is as follows:i is lower than the regional technology input rate of region j, (Tti \u2212 Ttj), it becomes negative. The elements of the j area show a return trend. Affected by the difference in technology input rate, technology flows between regions, affecting regional economic development and urban-rural integration development. Based on this, hypothesis 2c is proposed:\u2009 H2c: technology flow has a crucial impact on the convergence of urban-rural integration development.The setting of the above formula does not limit the inflow and outflow places. When the interest rate of region Based on the abovementioned, promoting the integrated urban-rural development is actually promoting the two-way flow of elements between urban and rural areas. For a long time, a large number of productive factors in rural areas have continuously flowed into cities unidirectionally, resulting in serious \u201cblood loss\u201d in rural areas. In the new relationship between urban and rural areas, rural elements flow to cities, and urban elements also flow to rural areas, which will form a virtuous circle of two-way flow of urban and rural elements. It is essential to guide the factors to flow freely and orderly between urban and rural areas, and activate the endogenous power of rural development through \u201coptimizing the combination effect of factors,\u201d \u201cspillover effect of knowledge dissemination technology,\u201d and \u201cexpanding market scale effect by division of labor,\u201d so as to promote the integrated development of urban and rural areas.The growth level of urban-rural integration development. Based on Chang et al. , the difDevelopment level of urban-rural integration, labor flow, capital flow, and technology flow. The development level of urban-rural integration is measured by establishing an index system and calculating the urban-rural integration development index. We construct an evaluation index system for urban-rural integration development, following the scientific and creative principles. Labor flow equals the ratio of the number of employees in this province and the average number of employees in other regions in the current year. Capital flow equals the balance of the number of capital formation rates to the average value of capital formation rate in the current year in other provinces. Technology flow equals the ratio of this province's science and technology expenditure (R&D expenditure) to the average science and technology expenditure of other regions.Per capita GDP (logarithm), fiscal decentralization, and rural financial services in this region. The higher the regional GDP, the better the regional economic development, which could drive regional urban-rural growth and impact urban-rural integration development. The higher the level of fiscal decentralization, the more autonomy the local government has, which could reasonably arrange urban and rural resources, promote resource allocation, and promote regional urban-rural integration and development. Rural financial services mean financial support for rural areas. The more thoughtful rural financial services are, the more funds might be provided for rural development, which could accelerate the speed of urban-rural integration and development. The above control variables are measured by the proportion of local government income in total income and per capita agriculture-related loans (logarithm).The econometric model selected in this study refers to the research on the setting of the convergence model by Bakbak and Kansu and Cholyi,t is the development level of urban-rural integration in the region i during the periodt, yi,t\u2212T is the development level of urban-rural integration in the region i at the beginning of the intervalT. Due to the short observation period, this study investigates the growth rate of urban-rural integration development in one (1/T)ln year. The average annual growth rate of the development level of urban-rural integration in the region \u03b2 is the convergence rate of the development level of urban-rural integration in the region. Variable Z includes fiscal decentralization, rural financial services, industrial structure, and other factors that might affect the growing convergence of urban-rural integration development. At the same time, to avoid simultaneous errors of variables, we deal with the first-order lag of critical investigation variables and control variables.Among them, yi,t \u2212 ln\u2009\u2009yi,t\u22121 refers to the growth of regional urban-rural integration development level in the year; yi,t\u22121 is the development level of urban-rural integration that lags behind the first stage; Ki,t\u22121 is the factor flow that lags behind the first period in the region, including labor flow lm, capital flows cf, technology flow tf; Xi,t\u22121 is a series of control variables that affect the growth of regional urban-rural integration development; ui refers to the individual effect; vt indicates the time effect; \u03bei,t is a perturbation term.According to formula , the fol\u03c3 convergence model belongs to the concept of convergence in neoclassical economic growth theory. If there is \u03c3 convergence in the level of urban-rural integration, then the urban-rural integration converges in absolute value and finally realizes the balanced development of urban-rural integration. The coefficient of variation was used to measure the convergence of urban-rural integration, as shown in the following formula:The Values were expressed as mean\u2009\u00b1\u2009SD.https://olap.epsnet.com.cn, accessed on December 16, 2021)). Some missing data are supplemented by interpolation. Due to the lack of data from Hong Kong, Macao, and Taiwan, 31 provinces and cities are selected as the research objects. The following table is the basic descriptive statistics for the samples. To avoid the objective deviation caused by experts' subjective judgment and incomplete data statistics and make up for the lack of single weighting, we adopt the combination of the G1 method and critical subjective and objective weighting method. Taljaard and Mare [The data used in this study are from the relevant years of \u00abChina Financial Statistics Yearbook\u00bb, \u00abChina urban and rural construction statistics yearbook\u00bb, provincial statistical yearbooks, EPS database , rural financial services (L. lnrfs), and per capita GDP (L. lnpgdp). Before the empirical analysis, the unit root inspection was carried out on the panel data, and the results demonstrated that the variables were stable. There are three models for panel data model estimation: mixed regression model, fixed-effect model, and random effect model , 31. TheThe fixed effect was estimated for the panel data to validate whether there was absolute convergence of the development level of urban-rural integration. The benchmark regression results are exhibited in \u03b2 Convergence trend in the growth of urban-rural integration development in China with provinces and cities as samples by using the fixed effect estimation of panel model \u03b2. After controlling the time effect in model (2), the coefficient of L. lny was still negative, indicating that this result was relatively robust. After adding variables such as fiscal decentralization (FD), rural financial services (Lnrfs), and per capita GDP (lnpgdp), the regression coefficient of L. lny was still negative regardless of whether the time effect was controlled. The convergence rate in model (3) was 0.087 percentage points higher than that in model (1), and that in model (4) was 0.053 percentage points higher than that of model (2). These data indicated a trend of absolute convergence in the growth of regional urban-rural integration development. Moreover, this growth might tend to conditional convergence at a faster speed.As shown in We next investigate the convergence of factor flow on the growth of urban-rural integration development, the interaction terms of capital flow and urban-rural integration development, labor flow and urban-rural integration development, technology flow, and urban-rural integration development were introduced into the model, respectively. The benchmark regression results are shown in As shown in As shown in As shown in \u03c3 convergence verification, we first understood the improvement process of regional urban-rural integration development. Here, we depicted the density diagram of urban-rural integration development before and after the year of the promulgation of the policies of \u201ccoordinating urban-rural economic and social development,\u201d \u201cpromoting urban-rural integration,\u201d and \u201curban-rural integration.\u201dBefore the \u03c3 convergence) of regional urban-rural integration development and factor flow was measured by the variation coefficient of urban-rural integration development and factor flow. As shown in \u03c3 convergence). The coefficient of variation of factor flow was greater than that of urban-rural integration. From big to small, the coefficient of variation of factor flow among provinces and cities was technology flow, labor flow, and capital flow [As shown in tal flow .Affected by the implementation of the policy, the impact of factor flow on the growing convergence of the development of urban-rural integration in provinces and cities might be diverse during different phases. After the proposal of \u201ccoordinating urban-rural economic and social development\u201d in 2002, the relationship between urban and rural areas had changed from Urban-Rural separation to urban-rural integration. \u201cPromote urban-rural integration\u201d was proposed in 2012. It is reasonable to believe that there might be pronounced period heterogeneity in the impact of factor flow on the growth of urban-rural integration development in different provinces and cities. It is necessary to further explore the time difference of factor flow on the convergence of urban-rural integration development in China. Here, the two-way fixed effect model of panel data were employed to investigate the situation in different regions in 2003\u20132011 and 2012\u20132020, respectively. The results are shown in As shown in Impulse response function could directly reflect the dynamic interactive relationship and effect between variables and urban-rural integration development. To avoid orthogonalization dependence caused by the order of variables, VAR models of general impact response between variables and the development speed of urban-rural integration were established, respectively. The impact results of impulse response are shown in To test the robustness of the above empirical results, the independent weight coefficient method is used to recalculate the regional urban-rural integration development index, which is substituted into the two-way fixed effect model of the panel data model for re-estimation. The results are shown in As shown in Provinces and cities with the extreme growth trend of urban-rural integration development might have substantial heterogeneity and significantly impact the empirical results. Therefore, to overcome the possible impact of this situation, the top and bottom five provinces and cities in the urban-rural integration development were excluded, and the robustness of the above empirical conclusions was assessed. As shown in \u03b2 convergence model. We further explored the time difference of factor flow on the growing convergence of regional urban-rural integration development and assessed the robustness. The main conclusions were as follows:Based on the perspective of factor flow, we constructed the evaluation index system of urban-rural integration development using the panel data of 31 provinces in China from 2003 to 2020. The combined weighting model of GI and CRITIC were used to evaluate the regional urban-rural integration development. The impact of capital, labor, and technology factor flow on the convergence of urban-rural integration development was evaluated using the coefficient of variation and The growth of urban-rural integration development had an absolute convergence trend and tended to conditional convergence faster. The variation coefficient of urban-rural integration development and the regression coefficient of L. lny in model (1) was negative, indicating a definite convergence trend in urban-rural integration development. Furthermore, the estimated coefficient was still negative after controlling the time effect, indicating that the conclusion was stable. After introducing the variables such as fiscal decentralization (FD), rural financial services (Lnrfs), and per capita GDP (lnpgdp), the regression coefficients of L. lny were negative regardless of whether the time effect is controlled. The convergence rate of model (3) was 0.087 percentage points higher than that of model (1). Moreover, the rate of model (4) is 0.053 percentage points higher than that of model (2), implying that the growth of regional urban-rural integration development had the trend of absolute convergence, and it might tend to conditional convergence at a faster speed.Nowadays, the capital flow has a positive effect on the convergence of urban-rural integration development, while labor flow and technology flow have a slowing effect on the convergence of urban-rural integration development. After adding the interaction term between capital flow and urban-rural integration development, the coefficient of urban-rural integration development in the base period was negative, whereas the coefficient of interaction term was positive, and the convergence rate increased. Capital flow positively affected the growth and convergence of urban-rural integration development. After adding the interactive term of labor mobility and urban-rural integration development, the coefficient of urban-rural integration development in the base period and the coefficient of the interactive term was negative, and the convergence rate decreased. After adding the interaction term between technology flow and urban-rural integration development, the coefficient of urban-rural integration development level in the base period and the coefficient of interaction term were negative, and the convergence speed also decreased. Labor and technology mobility slowed the growth and convergence of urban-rural integration development at this stage.There were time differences in the impact of factor flow on the convergence of urban-rural integration development. The convergence rate of urban-rural integration development after 2012 was markedly slower than before. Before and after the proposal of \u201cpromoting urban-rural integration\u201d in 2012, the growth of urban-rural integration development of provinces and cities in China showed a convergence trend, and the convergence rate was about 0.030 percentage points lower than before 2012. We also found significant differences in the impact of factor flow on the convergence of regional urban-rural integration and development around 2012. The convergence rate of urban-rural integration development before 2012 is higher than after 2012. Furthermore, the interaction coefficient of capital flow, technology flow, and urban-rural integration development also showed the opposite direction before and after 2012. However, the interaction coefficient of labor flow and urban-rural integration development had not changed before and after 2012.We should further promote the rural revitalization strategy and the two-way flow of urban and rural factors. The core of the rural revitalization strategy is talent revitalization. Establishing an institutional mechanism for the rational flow of urban and rural populations could attract rural and urban labor to stay in rural areas and start businesses to build rural areas. Establish and improve the introduction and training mechanism of professional farmers, cultivate new agricultural business entities, and improve the labor skills and quality of the rural population by establishing a talent training and exchange platform, strengthening the contact and cooperation between urban and rural talent markets, and establishing an information-sharing mechanism to provide institutional basis and policy guarantee for the rational flow and optimal allocation of urban and rural resources. Build the benefit-sharing mechanism for factor subjects, build a mechanism combining the complementary functions of the government and the market, and build the endogenous development mechanism of rural areas to promote the two-way flow of urban and rural factors, which guide the flow of production factors to rural areas.Develop the financial allocation capacity of local governments and guide financial funds flow to rural areas. Financial support is the first element to develop a new countryside. Coordinating urban and rural development is a systematic project, which might not be realized only by market mechanism regulation. We should develop the positive guiding role of government funds, increase capital investment, leverage financial funds and social resources, and speed up the construction of a new countryside. We should increase fiscal expenditure on rural education, agricultural science, and technology; insist education as the foundation and technology as a means; improve the actual productivity of rural areas; and attract more talents to participate in rural construction. Establish and improve the government investment guarantee system to increase the public budget for agriculture and rural areas to fill the lack of agricultural and rural development. We should plan new financing ideas, strive for external progress, tap internal potential, and raise funds through multiple channels. Through the cross-regional transaction of land-saving indicators, more funds will be attracted to rural areas, and more rural people will share the urban development.Focus on areas with slow urban-rural integration development and seek novel points. Promote the development of regional urban-rural integration, which tends to high-level convergence. We should promote the equalization of basic public services between urban and rural areas, improve the benefit-sharing mechanism for residents, and enable urban and rural residents to share the development of new urbanization. We might build basic public service facilities in urban and rural areas following unified allocation standards; further improve the security system for the elderly, the weak, the sick, and the disabled; and promote the integration of health care, old-age care, education, and employment. Promote the integration of urban and rural undertakings, increase investment in rural preschool education, and consolidate and enlarge teachers' teams. Insist overall consideration, individual breakthroughs, suit local conditions, fully consider the different stages of urban-rural integration development in different regions and the vast differences between diverse rural areas, and form a unique and practical development model of urban-rural integration."}
+{"text": "Knowledge of the main markers of bipolarity, clinical features and the course of depression within BPAD in men and women will contribute to the correct diagnosis, prog- nostic assessment of the disease course and administration of an adequate therapy.The aim of the investigation was to study the clinical features of depression in men and women with BPAD in order to identify markers of bipolarity, facilitate a diagnostic search and determine therapeutic tactics.The study was conducted from 2018 to 2020 in outpatient and inpatient conditions of the S. S. Korsakov Psychiatric Clinic of Sechenov University. 100 patients (50 women and 50 men) with a diagnosis of F31.3-F31.5 according to ICD-10 were examined by the clinical method.In the structure of the depressive phase in men, the following were more common: pronounced seasonality (with deterioration in autumn-winter) and daily fluctuations in the state (with improvement in the evening), anesthesia of the senses, depersonalization-derealization syndrome, decreased libido, difficulty falling asleep and increased appetite and / or body weight, comorbid depression, panic attacks and alcohol and surfactant abuse. Depression within the BPAD in women was characterized by a more frequent presence of apathy, tearfulness, self-harm, dysmorphophobic inclusions, decreased appetite.The revealed features of psychopathological symptoms and correlations between some characteristics and factors, taking into account gender differences, can be used as markers of bipolarity, which will allow for an earlier and more accurate diagnosis of BPAD and adequate therapy.No significant relationships."}
+{"text": "This study aimed to investigate the effect of self-management behavior on the rehabilitation of stroke patients to lay a theoretical basis for using patient-reported outcome (PRO) for rehabilitation evaluation of stroke patients.t-test and analysis of variance. Bonferroni method was used for multiple comparison correction. The correlation between rehabilitation results and patients\u2019 basic conditions and self-management was investigated through Pearson correlation analysis. The main factors for self-management behaviors were studied through multiple stepwise regression analyses.396 patients hospitalized in the Department of Neurology of 4 tertiary general hospitals in Datong from August 1st 2018 to March 31st 2020 were included in accordance with the inclusion and exclusion criteria. The included patients were randomly assigned into a self-management intervention group and a control group. Only the control group received the clinical pathway intervention of stroke rehabilitation. The stroke patients in the intervention group received the self-management intervention in addition to the clinical pathway intervention of stroke rehabilitation. The self-management status and rehabilitation results of the patients were evaluated in 24 h and 3 months after the patients were enrolled, respectively. Statistical description and analysis were conducted using SPSS20.0 statistical software. The general data of the patients were expressed by percentage. The data regarding patients\u2019 self-management and rehabilitation results were statistically described by percentage, mean and standard deviation. The comparison between groups was drawn through P < 0.01). In this study, there was no statistical difference in different genders and medical insurance status (P > 0.05). The total scores of self-management behaviors and the scores of the respective dimension were positively correlated with the health education, exercise intervention, functional training, psychological intervention, food intake, living habits, and functional training of stroke patients at the recovery stage. Educational level and marital status were positively correlated with the rehabilitation results of patients. The PRO questionnaire for the stroke scored higher in married patients and highly educated patients, and there were statistically significant differences (P < 0.01). Family history was negatively correlated with the rehabilitation results of patients. Exercise intervention and functional training were positively correlated with the rehabilitation results of patients.The total scores of self-management behaviors of the investigated subjects achieved statistical significance in different ages, occupations, educational levels, income levels, exercise intervention, past medical history, BMI, as well as marital status (Education level, health education, food intake, exercise and rehabilitation training, sleep, and psychological intervention were the main factors for self-management behavior in stroke patients at the recovery stage. Self-management interventions can effectively increase the health education level of stroke patients, strengthen their self-confidence in disease self-management, facilitate the establishment of effective self-management behavior of patients, and improve their quality of life and subjective well-being. Stroke PRO scale can be used to evaluate the clinical intervention effect of self-management on stroke patients in multiple dimensions, especially evaluating the improvement of subjective mental and psychological state of patients, thus revealing the intervention effect of self-management on stroke patients comprehensively. The rehabilitation of stroke patients at the recovery stage (2 weeks to 6 months after onset) is a vital factor in the prognosis and quality of life of stroke patients . ExistinThis study gained approval from the Medical Ethics Committee of Shanxi Datong University. A total of 396 patients with a stroke at the recovery stage from August 1, 2018 to March 31, 2020 in the Fifth, Third, and Second People\u2019s Hospitals of Datong City, Affiliated with Shanxi Datong University and Tongmei General Hospital of Datong City were included as the subjects for investigation.The inclusion criteria of subjects are elucidated below: \u2780 Patients meeting the diagnostic criteria established at the Fourth National Academic Conference on Cerebrovascular Diseases in 1996 and confThe exclusion criteria of subjects included patients with severe illness, the degree of ADL deficiency was BI \u2264 20 and BI = 100,unclear consciousness , or cognThe general demographic characteristics, lifestyle, health status, treatment and intervention of the subjects were investigated and evaluated by the self-made questionnaire. The PRO scale for the stroke developed by Wei Xiaoyuan of Shanxi Medical University was used to evaluate the rehabilitation results of patients. The PRO scale was investigated using the self-rating scale method, and its reliability, validity, and feasibility were examined, which confirmed its high reliability, validity, fairness, and feasibility .The serious and responsible medical staff in the neurology department should be recruited as the investigators for unified training. Subjects with a consistent baseline were included in accordance with the inclusion and exclusion criteria. \u2780 Patients were randomly assigned to a control group and a self-management intervention group by computer random number method, with 198 patients in the respective group. The patients\u2019 condition was evaluated within 24 h and 3 months after the patients were enrolled by the self-made general questionnaire and the PRO Scale for the stroke. \u2781 The patients in the control group received the clinical pathway intervention of stroke rehabilitation in a standard hospitalization period of 22\u201328 days. According to the specific type, course and main complications of stroke, appropriate clinical treatment measures were selected according to the Clinical Diagnosis and Treatment Guidelines \u2013 Neurology; during the standard hospitalization period of 22\u201328 days, the patients in the intervention group received self-management education while receiving the clinical pathway intervention of stroke rehabilitation. On the day of admission, the third week of hospitalization and the day of discharge, the nurse in charge of the patient carried out self-management education in the ward to improve the patient\u2019s self-efficacy, daily functional activities, and eliminate negative emotions. Methods: The form of mobile phone WeChat official account combined with bedside nursing was used for propaganda and education . \u2782 The st-test and analysis of variance. Bonferroni method was used for multiple comparison correction. The correlation between rehabilitation results and patients\u2019 basic conditions and self-management was investigated through Pearson correlation analysis. The main factors for self-management behaviors were studied through multiple stepwise regression analyses. When P < 0.05, the difference is statistically significant.After the questionnaire was collected, the data of study materials were entered into an Excel spreadsheet by two people and two computers, and a database for logical examination and correction was built. The statistical description and analysis were conducted using SPSS20.0 statistical software. The general data of patients were statistically denoted as percentages. The data regarding patients\u2019 self-management and rehabilitation results were statistically described by percentage, mean and standard deviation. The comparison between groups was drawn through t-test or one-way analysis of variance. The results indicated that the total scores of self-management behaviors of patients at the recovery stage of stroke achieved statistical significance in different ages, occupations, educational levels, income levels, exercise intervention, comorbidities, BMI and marital status (P < 0.01), whereas they did not achieve any statistical difference in different genders, family histories, stroke type and medical insurance (P > 0.05), as listed in No data loss in the study, for the 396 subjects included, 176 were male (44.5%), and 220 were female (55.5%), aged from 31 to 97 years, with an average age of 65.8 12.5. The demographic data of patients included and exercise intervention), which may affect the self-management behavior of stroke patients at the recovery stage, were investigated through independent sample The PRO scale for the stroke used in this study included four domains and 10 dimensions, including the physiological domain , psychological domain , social domain and therapeutic area (satisfaction), which involved a total of 46 items. Stroke PRO scale items were all scored using the Likert five-stage scoring method. All negative scores of the respective dimension were converted and then added with the positive scores to develop the total score. The higher the score, the higher the quality of life will be . Table 2P > 0.05). Statistical difference was found in the PRO scores of the self-management intervention group and the control group after the self-management intervention (P < 0.05). After Bonlemmi correction, the PRO scores of the self-management intervention group and the control group after the implementation of self-management intervention were statistically different (P < 0.017), and the differences between the other groups were not statistically significant . There was no statistical difference in the PRO scores of the self-management intervention group and the control group before the self-management intervention were compared in the included patients at the rehabilitation stage of stroke .P > 0.05). After the 3-month self-management intervention in the behavioral period, there were statistically significant differences in the scores of self-management behaviors of the two groups (P < 0.05). After Bonlemmi correction, there was a statistical difference between the self-management intervention group and the control group in the scores of self-behavior dimensions after the implementation of self-management intervention (P < 0.013), and there was no statistical difference between the other groups . Before the self-management intervention, there was no significant difference in the scores of self-behavior dimensions among different groups (The correlation analysis was conducted between the total score of self-management behavior and scores of the respective dimension and a total of 10 dimensions in four fields of the PRO questionnaire. The results indicated that health education, exercise intervention, psychological intervention, food intake, living habits, and functional training of stroke patients at the recovery stage were positively correlated with the total score of self-management behavior and scores of the respective dimension.Taking the total PRO score of stroke patients as the dependent variable, and introducing the above factors into the equation, a multiple linear regression model was established. The results indicated that there was a relationship between educational level, marital status, family history, exercise intervention, and functional training and the rehabilitation results of stroke patients. Educational level and marital status were positively correlated with the rehabilitation results of patients. Married patients and highly educated patients had high scores in the stroke PRO questionnaire and the differences achieved statistical significance. Family history was negatively correlated with rehabilitation results. The total rehabilitation scores of patients with a family history of stroke were lower than those of patients without a family history, and the differences were statistically significant. Participation in exercise intervention and functional training was positively correlated with the rehabilitation results of patients. Active exercise intervention and functional training can lead to higher scores of rehabilitation results of patients and significant differences. Stroke recovery patients with a better self-management ability and having mastered several systematic, scientific and effective methods and relevant knowledge and basic rehabilitation skills required for self-management can improve their confidence in self-management of their diseases and play their subjective initiative. They are capable of increasing the rehabilitation results by actively establishing correct self-management behavior patterns .In this study, there were differences in scores of different dimensions of self-management behavior, and the self-management of food intake was the best, probably because of the traditional concept of \u201cdisease entering from the mouth\u201d and the significant treatment effect of diet control for patients. Moreover, the medical staff emphasized the role of the healthy nutrition concept and the significance of long-term adherence during the patients\u2019 hospitalization and discharge education, so the patients\u2019 management of food intake can be effectively performed. The self-management of living habits, exercise intervention, health education, and functional training was better, probably arising from the strengthening of hospital education for patients and popular science education on stroke-related knowledge via the media, newspapers, television and community. Patients developed an awareness that excessive intake of tobacco and alcohol, unreasonable dietary structure, lack of exercise, and emotional abnormalities were significantly correlated with the occurrence and development of stroke. The management time and economic cost in diet, daily life and other aspects were reported to be low and acceptable, thus enabling patients to actively change their dietary structure, conduct the moderate exercise and functional training and maintain a relatively stable and optimistic mood . SpecialSeventy-three percent of the patients surveyed in this study had educational culture below junior middle school level, and their understanding of disease-related knowledge and mastery of rehabilitation training skills were poor, thus resulting in their poor knowledge level of stroke and preventing them from effectively implementing self-management and monitoring of the disease. Accordingly, nursing staff should increase health education for the stroke patients and pay more attention to health education regarding common chronic non-communicable diseases of the elderly and training in rehabilitation skills, so as to help patients understand the significance of self-management after stroke. Furthermore, they should carry out targeted guidance on systematic knowledge and skills in accordance with the patients\u2019 age, educational level, and economic situation, enhance the patients\u2019 behavioral abilities of self-management and scientific rehabilitation training after illness .The results of multiple regression analysis indicated that marital status of being married, active physical exercise and rehabilitation training were the protective factors for self-management scores of stroke patients; family history, past medical history and complications were the risk factors for self-management of stroke patients. The self-management score of married patients was higher than that of unmarried/divorced/widowed patients. The family relationship and family income of married patients were reported to be relatively stable, and they were significantly supported and encouraged. The patients\u2019 emotions were stable, and they faced stress with a positive attitude, thus improving their self-management ability. The rehabilitation scores of patients actively doing physical exercise were higher than those of patients not doing physical exercise. Regular and appropriate physical exercise improved the physical quality of patients and the rehabilitation of the diseases of stroke patients . The resThis study aimed to investigate the effect of self-management on stroke patients at the recovery stage. Due to the constraints of test time and test conditions, patients from the community and rehabilitation pension institutions were not included, and the sample representation was not comprehensive. When choosing the self-management evaluation scale, no more comprehensive reliability and validity evaluation was conducted due to the test conditions.The information was acquired directly from the patients based on the clinical outcomes reported by them, in which the explanation by the medical staff and any other staff was excluded. The information of this study can provide a more valuable reference for doctors in diagnosis and treatment of stroke, and it is of great significance in the clinical treatment practice. For patients at the post-stroke rehabilitation stage, medical intervention in accordance with the feelings and wishes directly from the patients can be the starting point for smooth work.Education level, health education, food intake, exercise and rehabilitation training, sleep, and psychological intervention were the main factors for self-management behavior in stroke patients at the recovery stage, which revealed that medical staff should improve the health education level of stroke patients and give more support to patients with lower educational levels. Self-management interventions can effectively increase the health education level of stroke patients, help them gain self-confidence in disease self-management, and facilitate the establishment of effective self-management behavior of patients, which is conducive to improving the quality of life and subjective well-being of patients. Stroke PRO scale is a novel sensitive and effective efficacy evaluation tool, which is capable of evaluating the clinical intervention effect of self-management on stroke patients from multiple dimensions, especially evaluating the improvement of the subjective psychological state of patients and thus revealing the intervention effect of self-management on stroke patients comprehensively.First, this study is only a multicenter study of a regional Grade III hospital, and did not include inpatients in the department of neurology of hospitals below Grade III in the region during the same period; Second, in order to facilitate research, we only used the PRO scale, no other scale is used, such as SF36 scale; Third, the cognitive function of the subjects was only evaluated with MoCA and MMSE neuropsychological evaluation scales, without further hierarchical evaluation. This requires us to further expand the sample in future research. On the basis of operational research, we should try our best to select various evaluation tools to comprehensively evaluate the research object, compare them with other similar research tools, and select the evaluation tool with the best reliability and validity.The raw data supporting the conclusions of this article will be made available by the authors, without undue reservation.The studies involving human participants were reviewed and approved by Medical Ethics Committee of Shanxi Datong University. The patients/participants provided their written informed consent to participate in this study.YSS, NPZ, and XZ proposed the idea of the article, formulated the inclusion and exclusion criteria, and wrote the first draft of the manuscript. DBY and JM conducted literature retrieval and screening. YSS and JM conducted data analysis and result writing. CGM and XZ reviewed the first draft of the manuscript. CJL revised the manuscript. All authors contributed to the article and approved the submitted version."}
+{"text": "In order to improve the overall structural stability and thermal insulation capacity of existing buildings in severe cold areas, green energy-saving ecological transformation methods of existing buildings in severe cold areas are proposed. The concrete stress analysis method of the joints in the frame is used to calculate the bearing capacity and prestress of the beam-column joints. Based on the method of parameter analysis, the calculation model of shear capacity is established. The embedded anchoring method is adopted to realize the equal strength connection of beam-column joints. Increase the unbalanced moment between reinforcement and steel plate, and improve the stability and reliability of beam-column joint fixation. The overall structural optimization method of joint shear performance is adopted to reduce the distance between lap reinforcement and steel plate, so as to realize the green energy-saving ecological transformation design of existing urban buildings in severe cold areas. The test results show that the service stress and tensile resistance of the reconstructed existing building area are higher than 60, the tensile capacity is good, and the slip of the lap reinforcement is effectively controlled. At the same time, this method improves the stability of beam-column elements and the overall thermal insulation performance of existing buildings in cities in severe cold areas. The next research will focus on the transformation of other structures. In recent years, with China's great emphasis on the ecological environment, the concepts of low-carbon cities and green energy-saving buildings have been gradually popularized. With the constant improvement of China's green energy-saving construction, the growth of building energy consumption has been effectively restrained. However, there are still some problems, such as people's ignorance of building energy-saving ideas, imperfect building energy-saving renovation methods and technologies, lack of energy-saving ideas in building construction , 2, and At present, for residential units, there are often some problems, such as unreasonable layout of residential buildings, inefficient use of space, ventilation and lighting of residential buildings failing to meet the requirements of residents, wasting a lot of energy and so on. Therefore, the application of low-carbon concept and low-carbon technical measures in planning and architectural design to build energy-saving green communities and energy-saving buildings is not only of great significance to China's energy conservation and utilization \u20136, but aChina's research on the application of low-carbon energy-saving theory and space syntax in building energy-saving renovation is still insufficient, and the current research results in this area are also lacking, and have not formed a complete system. This study systematically sorts out the application theory of low-carbon energy conservation and the practice method of spatial syntax by analyzing the Reference, reports and excellent cases of the implementation and application of low-carbon energy conservation concepts at home and abroad, perfecting and enriching the energy conservation theory of existing residential areas and residential buildings, and supporting the construction of low-carbon energy-saving communities in China. In this study, the spatial syntax theory is applied to the quantitative and visual analysis of existing residential areas, which can more intuitively analyze the energy-saving transformation of residential areas and buildings. The comprehensive application of space syntax and low-carbon energy-saving theory will provide a new direction and path for the renovation of low-carbon energy-saving residential areas in the future. The design of green energy-saving ecological transformation of existing buildings in cold regions is based on the optimization design of mechanical parameters of beam-column joints of existing buildings in cold regions, and the optimization of green energy-saving ecological transformation of existing buildings in cold regions is realized by combining numerical simulation and mechanical analysis. At present, for the green and energy-saving ecological transformation methods of existing buildings in cities in severe cold areas, the anchor joint fixing method, the foundation pit fixing method, and the tensile steel bar strain stability fixing method are mainly adopted, and the double steel plate concrete composite wall design method is adopted to realize the stability control of beam-column joints of existing buildings in cities in severe cold areas.Reference proposedThe vast majority of existing buildings belong to non-energy-saving high-energy buildings. In the energy-saving transformation of existing buildings, local practices basically focus on large-scale public buildings and government office buildings with high-energy consumption, as a breakthrough in energy-saving transformation. Therefore, this paper proposes a green and energy-saving ecological transformation method of existing buildings in cities in severe cold regions based on the overall structural optimization of node shear performance. Firstly, in assembling the integral shear wall structure, the concrete stress analysis method of the joints in the frame is adopted, the embedded anchorage method is adopted, and the prestressed reinforcement degree analysis and yield response analysis are combined to realize the equal strength connection of the beam-column joints of the existing urban buildings in severe cold areas. Then, the static monotonic tensile test method is adopted to increase the moment of force between steel bars and steel plates, improve the stability and reliability of the beam-column joints, and the overall structural optimization method of the shear performance of the joints is adopted to reduce the distance between the overlapping steel bars and steel plates. Finally, the experimental test shows the superior performance of this method in improving the green energy-saving ecological transformation ability of existing urban buildings in severe cold areas.Parameter analysis method is widely used in various reservoir parameters. Through cluster analysis and discriminant analysis, the types of flow units in the study area are reasonably divided, and the discriminant functions of various flow units are established to identify the unit types. These parameters mainly include porosity, permeability, median grain size, shale content, formation coefficient, net-gross ratio, saturation, conductivity coefficient, storage coefficient, pore throat radius, pore throat ratio, and cross-well flow capacity index.Cans identifies the flow unit by using the cross-well flow capacity index Interwell Flow Capacity Index (IFCI). IFCI is defined as the ratio of flow between two adjacent wells. The denominator is the flow rate of high permeability layer. The results show that if the two wells are located in the same flow unit, the ratio of formation coefficient of the two wells has a good correlation with its flow rate ratio. Otherwise, the correlation is poor. Therefore, the distribution range and connectivity of flow units can be judged.Identification of flow unit by repeated formation test and tracer test. The main principle is to identify the flow unit according to the measured pressure change and tracer concentration change.Prediction of flow unit by production pressure difference. According to the flow of fluid in oil\u2013water two-phase obeying Darcy's law, the calculation formula of production pressure difference of flow unit is established. This method can avoid the contradiction between resource waste caused by shut-in pressure measurement and less pressure measurement data by layers, and its accuracy depends on the accuracy of parameter selection and the reliability of flow unit division.Fluid Inclusion Stratigraphy (FIS) is used to identify oil\u2013water interface and seepage barrier, and production logging and pressure data are used to identify flow units. It is worth noting that when the physical and chemical properties of fluid inclusions between adjacent wells are different, it can indicate the existence of barrier layer. However, when there is no difference in physical and chemical properties of fluid inclusions between adjacent wells, it cannot be concluded that the barrier layer does not exist.Based on the research and analysis of domestic and foreign cases, it is concluded that domestic green low-carbon energy-saving residential communities usually pay attention to the application of low-carbon energy-saving concept from the early planning and design stage. In the construction stage, domestic residential areas also adopt construction methods such as assembly to reduce energy consumption and waste of resources in the construction stage. Many technologies and methods are also used in the residential operation stage, which play a substantial role in the energy conservation and utilization of the whole residential area, but the public participation is not high and the enthusiasm is not strong. Compared with foreign low-carbon energy-saving communities, they have invested a lot of financial resources and manpower in the active energy-saving and passive energy-saving design of residential areas, and paid great attention to public participation and the cultivation of residents' low-carbon energy-saving concept in the whole process, which is very worthy of our reference \u201314. CombVerify through the node count in the software. If the value of node count is positive, it indicates that the drawing is correct, and the color of the line segment is green. If the value is negative, the model is wrong and the color of the line segment is red.Using reinforced concrete raft as foundation, combining embedded anchoring and embedded anchoring methods, the anchoring connection module of beam-column joints of existing buildings in cities in severe cold areas is established. According to three anchoring forms, double steel plate concrete composite wall configuration method is adopted, and bolts on both sides of beam-column joints of existing buildings in cities in severe cold areas are used to achieve anchoring. Considering raft foundation, embedded steel plates of beam-column joints of existing buildings in cities in severe cold areas are perforated. The cracks of reinforced lap specimens are fixed by anchor bolts, and the ribbed steel bars are lapped in concrete by embedded anchorage. Through strain detection and mechanical parameter analysis of tensile steel bars and steel plates, the wall-reinforced concrete foundation parameters of beam-column joints of existing buildings in cities in severe cold areas are determined. Based on the code for design of building thermal insulation (GB 50011-2010), the thermal insulation design of beam-column units of existing buildings in cities in severe cold regions is carried out. In AISC N690-12, the tensile reinforcement is configured in combination with the technical standard requirements of cylindrical head welding nails for arc stud welding (GB/T 10433-2002).Through field investigation, case comparison and spatial syntax model analysis, this paper analyzes the constitutive relationship of beam-column joints of existing buildings in severe cold regions.In order to comprehensively consider the green energy-saving design level of buildings in residential areas and the maintenance degree of green environment in residential areas, the building materials of residential buildings and the property management of residential areas are also analyzed. In the assembled integral shear wall structure of existing buildings in cities in severe cold areas, the concrete stress analysis method of the joints in the frame is adopted, and the spatial structure, planning layout and traffic flow lines of two existing residential areas are analyzed at the macro level. For the overall layout and traffic, through the axis model of two existing residential areas, it is analyzed according to two indicators: selectivity and integration. According to the axis model established by the urban road network, the roads represented by each axis have corresponding index values. The values are arranged according to the size, and the color is attached for visual analysis. In the model, the red, yellow and blue axes represent high, medium, and low index values in turn. Among them, the main syntactic index of axis: Choice\u3009 indicates the potential of axis to attract crossing traffic. Integration represents the traffic accessibility of the axis. In assembling the integral shear wall structure, the concrete stress analysis method of the joints in the frame is adopted to calculate the bearing capacity and prestress of the beam-column joints of the existing buildings in cities in severe cold areas, and the constitutive model of the materials of the beam-column joints of the existing buildings in cities in severe cold areas is constructed \u201317. The Vt1 represents the internal force of tensile reinforcement configuration of existing buildings in cold regions relative to the node performance, Vu1 represents the standard anchorage length of reinforcement, and \u0394Vt represents the distance between lap reinforcement and steel plate of existing buildings in cold regions. The static loading test method is adopted to analyze the correction factor of lap reinforcement diameter as follows [dei is the hysteretic coefficient of the cross-section and steel plate of the existing building specimen in the cold area city, and dpti represents the buckling relation of large local deformation. The template parameters on both sides of the existing building concrete pouring in the cold area city, and the stress parameters of the anchoring reinforcement are:\u03bb is the index of compression and tensile damage of existing buildings in cities in severe cold areas, and t is the volume stirrup ratio of energy-saving ecological renovation of existing buildings in cities in severe cold areas. Considering the size and loading capacity of the loading device, it is found that the index coefficient of tensile damage of beam-column joints of existing buildings in cities in severe cold areas satisfies u : I \u00d7 IRd\u27f6IR, and the elastic modulus of concrete of existing buildings in cities in severe cold areas is:s \u2265 0, 1/p=1/p1+1/p2=1/p3+1/p4. The index coefficients of compressive and tensile damage of existing building concrete in cities in severe cold areas are analyzed. When \u2203x0 \u2208 R2, the tensile damage index of concrete in steel tube:P(Y|\u03bbj) is the biaxial compressive yield strength of existing urban buildings in severe cold areas, P(Y|\u03bbj) is the uniaxial tensile stress of existing urban buildings in severe cold areas, and P(Y|\u03bbT) is the initial elastic modulus. If a > 1, the constitutive relation model of beam-column joints of existing urban buildings in severe cold areas is established, and the constitutive relation analysis of beam-column joints of existing urban buildings in severe cold areas is realized under uniaxial stress.In the above formula, follows :(2)di=deP is the applied prestress, \u03c6x is the anchor parameter of the existing buildings in the cold region, v is the prestress, b is the structural fitting parameter, a is the yield response of ecological design, and t is the constitutive model parameter.On the basis of the above-mentioned constitutive relation model of beam-column joints of existing buildings in cities in severe cold areas, the overlapping force transmission analysis of beam-column joints of existing buildings in cities in severe cold areas is carried out by adopting the arrangement of overlapping steel bars, and the stress parameter analysis model of beam-column joints of existing buildings in cities in severe cold areas is established by analyzing the bearing capacity, stiffness, and other parameter information of beam-column joints of existing buildings in cities in severe cold areas. Steel plates are welded at the bottom of steel plates, Calculate the stress parameters of the anchorage zone between column and foundation, build the calculation model of shear bearing capacity, adopt the embedded anchorage method, and combine the analysis of prestressing tendons and yield response to obtain the longitudinal strength of the beam-column joints of existing urban buildings in severe cold areas, and establish the finite element model of the beam joints . The comThe calculation model of shear capacity includes the main influencing factors, such as beam geometric size, shear span ratio, stirrup ratio, axial prestress, concrete strength, load form, and so on. During the construction, 987 beams without web reinforcement were selected, including 531 beams with web reinforcement, 136 beams without web reinforcement, and 42 beams with web reinforcement under uniform load. Other prestress, bearing capacity, concrete strength, load, and other parameters are set in the test.Therefore, combined with the finite element analysis of composite frame joints, the relationship between compressive stress and compressive strain is shown in aii is the stress\u2013strain joint distribution characteristic of green energy-saving ecological transformation of existing buildings in cold regions, bi is the deviation value of green energy-saving flow potential of existing buildings in cold regions, xjk)( is the strain corresponding to uniaxial compression of green energy-saving ecological transformation of existing buildings in cold regions. According to the analysis of the overall structural parameters of shear performance of beam-column joints of existing buildings in cold regions, the standard anchorage length of steel bars is calculated by the method, and the influence of anchorage length on the performance of beam-column joints of existing buildings in cold regions is analyzed.According to the relationship between compressive stress and compressive strain of green energy-saving ecological renovation of existing buildings in cities in severe cold areas shown in Is is the vertical and horizontal spacing, \u03bcj is the distribution of compressive stress\u2013strain relationship, Aj is stress\u2013strain under uniaxial compression, W\u2032 is the parameter value of uniaxial tension descending section, F is the biaxial compressive yield strength.By adopting the static monotonic tensile test method, the moment of force between steel bars and steel plates is increased, and the lap joint model of beam-column joints of existing buildings in cities in severe cold areas is constructed . The indF is 0.1, the biaxial compressive yield strength obtained satisfies:\u03bbn is the uniaxial tensile strength of beam-column joints of existing buildings in cities in severe cold areas [fvk is the standard value of the parameter value of uniaxial tension descending section, \u03c9 is the deviation value of flow potential; Ac, Aw are the cross-section parameters and distribution area of concrete restrained by stirrups, and \u2211Af is the stiffness recovery coefficient. N is the initial elastic modulus of steel [When ld areas , 22, fvkof steel , 24.According to the supporting sequence of the bolt body, the concrete supporting column project is adopted to realize the analysis of the stress structure parameters of the beam-column joints of existing buildings in cities in severe cold areas. In the steel-inserted anchorage joints, the bearing capacity of the specimens is analyzed, and the specific operation process is shown in To sum up, to realize the equal strength connection of beam-column joints of existing buildings in cities in severe cold areas, the static monotonic tensile test method , 26 is aIn the experimental test of green energy-saving ecological transformation of existing buildings in cities in severe cold areas, the strength grade of steel bars is set to HRB400, and the ultimate strength detection model of beam-column joints of existing buildings in cities in severe cold areas is established by using I-beam, steel tube, and internal reinforcement design method. The yield prestress degree is 234.1\u2009MPa and 232.0\u2009MPa. See According to the parameter evaluation index system in In According to the stress analysis in The steel bars are planted on the brick wall at the post-cast strip. The depth of the holes for planting steel bars is 200\u2009mm, and the spacing is 300\u2009mm. An 8-screw with an implanted depth of 150\u2009mm is arranged in the hole, which is anchored by pouring steel bar glue, and 180\u2009mm is thrown out of the hole. Eight long-length steel bars are placed in the post-cast strip, and the long-length steel bars are tied together with the bolts implanted in the wall. At the same time, the hooks of the embedded steel bars at the bottom of the precast reinforced concrete slab hook the long-length steel bars. This test is loaded in the vertical and horizontal directions, and a jack is used to apply a constant vertical force of 30\u2009t to the steel beam. The load is transmitted to the concrete loading beam at the top of the test body through the loading steel beam, and then to the specimen to ensure that the axial force is evenly transmitted to the specimen. Load horizontally with electrohydraulic servo actuator and adopt displacement control, and get the comparison of force characteristics of existing buildings in cities in severe cold areas after green energy-saving ecological transformation, as shown in According to the analysis of The yield response of beam-column joints of green buildings is tested. The comparison of cloud pictures of green energy-saving ecological transformation of existing buildings in cities in severe cold areas is shown in In It can be seen from This paper puts forward the green energy-saving and ecological transformation methods of existing buildings in cities in severe cold areas. The connection model between concrete foundation and double steel plate composite wall of beam-column joints of existing buildings in cities in severe cold areas is established, which improves the bearing capacity of buildings. Combined with embedded anchoring and embedded anchoring methods, the mechanical reliability of beam-column joint fixation is optimized. The embedded anchoring method improves the stability and thermal insulation performance of the building.Since the weather environment in most cities in China is hot in summer and cold in winter, this study is only aimed at the reconstruction of existing buildings in cities in cold regions. Therefore, the next research will start from the energy-saving transformation of the building envelope, energy-saving transformation of existing buildings in hot summer and cold winter areas."}
+{"text": "There is a paucity of research on the impact of caregiving on the quality of life of unpaid caregivers for older adults aged 60 years or older with visual impairments (VI). The purpose of this study is to test multimodal interventions to improve quality of life and well-being in unpaid caregivers of older adults with VI. The objectives were: (1) to implement multimodal interventions targeted towards improving the quality of life of family caregivers of older adults with a VI; (2) to evaluate the efficacy/effectiveness of the interventions in improving the quality of life of older adults with a VI. The outcomes of interest include: quality of life, health, stress, burden, problem-solving, and barriers. For this study, a 10-week virtual intervention was implemented with 12 caregivers and eight older adults with visual impairments, for a total of 20 participants. The intervention was held for one hour for 10 consecutive weeks and included activities such as tai chi, yoga, meditation, music, nutrition, and other de-stressing techniques. Participants completed a series of questionnaires before and after the intervention period. These questionnaires include: Satisfaction with Life Scale, Living Arrangement and Indicators of Social Interaction survey, Caregiver quality of life (EQ-5D), the Perceived Change Index, and the Geriatric Depression Scale. Findings from the data analysis show excellent caregiver engagement throughout, including participation in the pre and post surveys. Results show the benefits of multimodal interventions for caregivers as well as older adults with VI. Future studies should focus on interventions that are most promising."}
+{"text": "Give Peace a ChanceJohn Lennon 1969ICONS-5, organized during from August 31 to December 02, 2022, was the fifth edition of the on-line magnetic resonance conference series called Konstantin Ivanov InterCONtinental Magnetic Resonance Seminar, named after our untimely deceased colleague and friend. The ICONS conferences are an off-shoot of the weekly Intercontinental NMR Seminar Series that started on April 8, 2020. This seminar series has enabled the communication and dissemination of research ideas among the magnetic research community in the times of the COVID-19 pandemic and will continue to do so beyond. In the framework of the ICONS series, until now, more than 130 scientists from five different continents have presented their recent results. While the weekly seminar series gives both early-stage and experienced researchers an opportunity to give seminar talks and interact with colleagues from all over the world, the ICONS conference is a platform for experienced researchers. The ICONS-5 conference attracted registrations from nearly 200 people from 30 countries and spanned 17 time zones from Japan over Europe to the US West Coast. The meeting talks were broadcast across the Zoom and YouTube platforms. The average combined attendance was around 120.The ICONS seminar series is open to all areas of magnetic resonance and covers the full range of Magnetic Resonance, i.e., EPR, NMR, MRI, and their various hybrids. While the summer ICONS conferences and its pros and cons compared to other hyperpolarization techniques. Then he reported on recent developments on the application of DNP towards studies of RNA ribozymes and discussed the application potential of DNP for the simplification of crowded spectra of biomolecules. At the end, he gave an overview of 1\u03c1. At the end, he reported a combination of REDOR and VT-NMR studies of side-chain dynamics of proteins.Paul Schanda, Austria, gave a fascinating overview of recent developments in the investigation of protein dynamics in the solid state employing a combination of solid-state NMR and molecular dynamics simulations. At the start of his presentation, he explained why relaxation is intrinsically multi-exponential. Then he discussed the effects of deuteration on the relaxation times and gave a Redfield analysis of RThomas Theis, USA, first gave an introduction into Parahydrogen-based hyperpolarization techniques in Chemistry, Biochemistry, and medical imaging. He then discussed the advantages of reversible PHIP (SABRE), in particular in bio-related questions, owing to the large number of available metabolites of interest that are or are likely to become SABRE active, and showed a number of recent results from his group. Next, he gave a fascinating overview about the construction and physical principles of a RASER NMR setup in his group and demonstrated the astounding coherence length and spectral resolution of this system and the resulting line resolution.Jamie Walls, USA, discussed the application potential of diffusion NMR for the investigation of NMR diffusion experiments for the analysis of the pharmaco-kinetics of emulsion-based formulations of drugs and its application to isoflurane, a widely employed common anesthetic. He discussed the kinetics employing Bloch-McConnell model.Patrice Bertet, France, gave a fascinating introduction into recent results in the detection of small numbers of electron spins employing micro-waves in a miniaturized resonator. He explained how the relaxation properties of the spins are optimized and discussed the SMPD device for the detection of the signals. Then he showed the tremendous improvements obtained in the last twelve month where the detection limit was increased from 1000 to one spin. Finally, he showed a number of basic experiments, such as Rabi oscillations on these systems.N). By CEST an excited state of the protein was detected, whose structure was studied via 1H-15N RDCs .Ashok Sekhar, India, discussed the application of NMR for the investigation of order/disorder phase transitions in intrinsically disordered proteins, employing the cytidine repressor, which binds its cognate operator DNA through the N-terminal DNA-binding domain for the processing of diffusion NMR spectra.Jean-Pierre Korb, France, reported on recent studies of water dynamics in protein hulls, employing a multi-scale approach. From the combination of the experimental dispersion of the NMR relaxation data and theoretical modeling he investigated the surface water diffusion in hen egg-white lysozyme (LZM) and bovine serum albumin (BSA) solutions and the influence of the addition of different salts on these dynamics. He found an excellent agreement between experiments and modeling over 4 decades in Larmor frequency (10\u00a0kHz to 110\u00a0MHz).Eva Meirovitch, Israel, gave an intense theoretical introduction into the combination of the slowly relaxing local structure (SRLS) approach for the analysis of NMR relaxation from proteins and molecular dynamics (MD) simulations and the application of these techniques towards the study of NH-bonds.Thomas Barbara, USA, gave a fascinating historical overview about the development of NMR relaxation theories. In this overview, he showed that already Felix Bloch had developed a full density matrix approach for the description of relaxation, which later fell into oblivion in favor of Redfield's simpler semiclassical approach and how this old approach by Bloch is related to the recent rediscovery of the Lindblad master equation.Organization and future developments: The conference was organized by Daniel Abergel , Gerd Buntkowsky , and P. K. Madhu . Suman Saurav, TIFR Hyderabad, provided technical assistance. The conference and seminar series were sponsored by Alexander von Humboldt Foundation, Wiley, Springer, HyperSpin, and Adani. Following the scheme of a general MR conference in summer alternating with a specialized conference on cutting-edge topics in winter, there are already plans for a specialized ICONS-6 in spring of 2023. For updates and the schedule of upcoming talks, see the home page of the meeting ICONS-Seminar."}
+{"text": "In addition to the global negative impact on mental health of general population, as well as psychiatric patients, Covid-19 pandemic affected significantly research. Initially, lockdowns and restrictions of human contacts temporarily disrupted clinical research activities, but the unprecedented health crisis also provided unique opportunity to study epidemiology of mental disorders, direct and indirect effects of the pandemic on psychiatric disorders, underlying pathophysiological mechanisms, or long-term neuropsychiatric consequences. Research has refocused now on better understanding of the causes, presentations, outcome trajectories, and therapy of mental illnesses. New research topics are followed by the surge in publications covering Covid-19 and mental health and/or psychiatric disorders and treatments. The impact of the pandemic on research and publications is also evidenced by the results of a survey among psychiatric researchers.No significant relationships."}
+{"text": "Database of Journal Citations in Science Education to collect studies on teacher education published from 2015 to 2019 and analyzed the issues described therein. Fifteen categories of issues described therein. Regarding our suggestions for future research on teacher education, this study recommends strengthening the body of literature on the following themes: (1) the professional development of preservice teachers, (2) teacher education for special education, (3) quality assurance for teacher education, (4) the career development of preservice teachers, (5) teacher education for experimental education and rural schools, (6) the sociology of teacher education, and (7) the operation of teacher education centers. Our findings may serve as a reference in efforts to improve the quality of teacher education, and promoting the sustainable development of Taiwan's education system.In this study, the researchers analyzed the issues in teacher education research after the implementation of the 12-Year Basic Education policy and developed suggestions to improve the quality of teacher education in Taiwan. The researchers used Taiwan's http://w1.dorise.info/JCSE/. The implementation of education affects a country's development and success, and a key component of an effective education system is the cultivation of high-quality teachers. The quality of education often depends on the quality of teachers, and teachers' professional development is closely linked to teaching effectiveness and student learning outcomes. In discussions on teacher education reform, high-quality teachers are often considered the foundation of student achievement, and the cultivation of high-quality teachers depends on research-based teacher education. Practice and theory must be integrated to ensure high-quality teacher education. Theory can improve practice, and practice can be used to revise theory; that is, teacher education theory can guide the implementation and thus improve the quality of teacher education. The development of the theoretical basis of high-quality teacher education requires extensive research on teacher education. Studies on teacher education can contribute to the development of the theoretical basis of teacher education , promote best teaching practices in the workplace, and enhance the quality of teacher education in November 2014. The New Curriculum reflects the idea that the 12-year basic education curriculum guidelines should be based on the principle of holistic education, incorporating the ideas of \u201ctaking initiative\u201d, \u201cengaging in interaction\u201d, and \u201cseeking the common good\u201d. The practice of the New Curriculum is based on \u201ccore competency\u201d as its main axis and consists of three dimensions: \u201cautonomous action\u201d, \u201ccommunication and interaction\u201d, and \u201csocial participation\u201d preservice teacher education courses; (2) international comparison; (3) teacher education policy; (4) student teachers; (5) teaching materials, methods, and practicums; (6) educational issues; (7) practices in teacher education; (8) test construction; (9) professional development of preservice teachers; (10) teacher education for special education; (11) quality assurance of teacher education; (12) career development of preservice teachers; (13) experimental education and teacher education; (14) sociology of teacher education; and (15) operation of teacher education centers. The number of articles related to each issue is presented in Regarding the studies on teacher education courses, one study discussed the development strategy of the teacher education system through the lens of the religious concept of servant leadership Chang, . AnotherOne study examined the possibility of offering capstone courses, which are widely offered by universities, as part of the teacher education system , which comprises the \u201cWork Values Scale for Teachers\u201d, \u201cSituational Judgment Tests for Teachers\u201d, and \u201cPersonality Scale for Teachers\u201d. The TAA involves conducting tests close to the actual teaching site; exploring students' teaching quality, emotions, and behavioral performance in the context of work; and supplementing the content that cannot be measured using cognitive test performance and academic achievement. The TAA can be used for preservice teacher selection and to evaluate whether preservice teacher education courses are useful. Finally, the TAA can also be used to evaluate the performance of student teachers in teacher education research after the implementation of 12-Year National Basic Education in Taiwan. The researchers offer the following suggestions for future research on teacher education.No consensus has been reached on teachers' professional ethics in Taiwan. Professional ethics courses are rarely offered in preservice teacher education programs. According to the standards of professional competence for preservice teachers announced by the Ministry of Education in 2019, teachers' recognition and practice of professional ethics are necessary. However, further research on the alignment of teachers' professional ethics with 12-Year Basic Education is warranted.Schools have trended toward an integrated education approach for the education of special education students at the senior high school level and below. Teachers play a key role in protecting these students' right to learn. Therefore, teachers' knowledge of special education and of how to cooperate with special education teachers and students' parents are crucial. Although preservice teacher education programs at most teacher education centers offer 3-credit \u201cIntroduction to Special Education\u201d courses, few studies have been conducted on improving the quality of teachers' knowledge in special education.Taiwan's teacher education system is superior to those of many countries in its recruitment and selection process and elements of quality assurance remain crucial concerns in Taiwan. In addition, various major social issues, including a decreasing birth rate, an aging population, diversified interactions between ethnic groups, rapid development of the Internet and information technology, emergence of new job types, increasing democratic participation, growing awareness of social justice, attention to ecologically sustainable development, and transformations brought about by globalization and internationalization, pose numerous challenges to education and contribute to the need for reform to ensure that Taiwan's education system can keep pace with changing social needs and global trends. In addition, Taiwan, a small island in the western Pacific Ocean, has been influenced by international tendencies in terms of its politics, economics, academic research, etc., and the development of teacher education is no exception Huang, .Since the implementation of the 12-Year Basic Education in 2014, many major educational reforms and corresponding reforms in teacher education have been enacted. After the implementation of the New Curriculum in 2019, preservice teacher education courses have also moved toward competency-based curriculum reform. Broadly speaking, the teacher education reforms enacted in response to 12-Year Basic Education span four key areas: (1) implementation of the development and design of competency-based preservice education courses; (2) guidance of teacher education universities in the development of school-based teacher education characteristics; (3) encouragement of teacher education universities to ensure the quality of preservice teachers and teaching experience; and (4) development of preservice teachers' inquiry and practical abilities, cross-disciplinary teaching, and international mobility. Therefore, teacher education in Taiwan is closely related to the 12-Year Basic Education curriculum, and the findings of this study may serve as a reference in the effort to promote the quality of teacher education in Taiwan and the sustainable development of Taiwan's education system within the context of the curriculum's implementation.This study collected the relevant research on teacher education in Taiwan from 2015 to 2019, evaluated the developments in research on teacher education, and analyzed the themes that have been emphasized in this body of research so far. The main research issues were as follows: (1) preservice teacher education courses; (2) international comparison; (3) teacher education policy; (4) student teachers; (5) teaching materials, methods, and practicums; (6) educational issues; (7) practices in teacher education; (8) test construction; (9) professional development of preservice teachers; (10) teacher education for special education; (11) quality assurance of teacher education; (12) career development of preservice teachers; (13) experimental education and teacher education; (14) sociology of teacher education; and (15) operation of teacher education centers.Overall, the research on teacher education reflects the focus on curricula and the Taiwanese system of teacher education. However, it still fails to consider all aspects of system reform, such as teacher education for special education and experimental education and quality assurance of teacher education. In addition, studies on the career development and professional development of preservice teachers have remained scarce. Finally, research on teacher education for rural schools, the sociology of teacher education, and the operation of teacher education centers should be prioritized. Regarding our suggestions for future research on teacher education, the body of literature on the following research issues must be further developed: (1) the professional development of preservice teachers, (2) teacher education for special education, (3) quality assurance for teacher education, (4) career development of preservice teachers, (5) teacher education for experimental education and rural schools, (6) sociology of teacher education, and (7) operation of teacher education centers. Our findings may serve as a reference in improving teacher education, and promoting the sustainable development of Taiwan's education system as well as for future research on the theoretical basis and quality of teacher education worldwide.The original contributions presented in the study are included in the article/supplementary material, further inquiries can be directed to the corresponding author/s.Conceptualization, methodology, investigation, resources, data curation, writing-original draft preparation, and writing-review and editing: R-JW and Y-HS. Formal analysis: Y-HS. All authors have read and agreed to the published version of the manuscript.This study was funded by the Taiwan Ministry of Science and Technology (Grant No. 110-2420-H-002-003-MY3-Y11014).The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest.All claims expressed in this article are solely those of the authors and do not necessarily represent those of their affiliated organizations, or those of the publisher, the editors and the reviewers. Any product that may be evaluated in this article, or claim that may be made by its manufacturer, is not guaranteed or endorsed by the publisher."}
+{"text": "In China, studies on the regional risk assessment of hazardous chemicals have been carried out for only a few years, and there are few studies on hazardous chemicals leaking into seas. Previous regional-risk-assessment methods considered a single risk factor for most assessment targets, and comprehensive considerations of risk sources and sensitive resources for a study area are not sufficiently included. Based on previous work, this study established a regional-risk-assessment method for hazardous chemicals leaking into seas. This method considered the hazards of hazardous chemicals and the tolerance of the regional environment by means of a case study in Tianjin. The results showed that the risk level of the enterprise was Grade I, classified as a high-risk source of hazardous chemicals; the main reasons were the strong toxicity and large quantity of hazardous chemicals. This method provides technical support for scientifically assessing marine-environmental-risk levels for hazardous-chemical-leakage areas and for carrying out risk-prevention and restoration assessments of hazardous chemicals leaking into seas. The chemical industry has gradually become the leading industry in China. While the use of many chemicals improves production quality and quality of life, their inherently dangerous properties also pose a great threat to human health and the natural environment . At the In the 1960s and 1970s, developed countries enacted laws on the management of chemical substances, which prompted United Nations agencies to gradually establish and implement relevant international conventions . InitialResearch outside China on the risk assessment and prediction of hazardous chemical accidents began earlier, and it is more systematic in both theory and method. In terms of policy, many developed countries have incorporated environmental risk assessment into the scope of environmental management, with policies such as the guidelines on \u201cControlling Accidents Affecting People inside and Outside Factories and Major Environmental Hazards\u201d issued by the Department of Environment and Science of the World Bank in 1985; the European Union (EU) legislation from 1987, which stipulates that environmental risk assessments must be carried out for factories that may be at risk of chemical accidents; and the Appel Plan (APELL), developed in 1988 by the United Nations Environment Programme (UNEP), which is used to deal with environmental pollution accidents that are difficult to prevent and may cause serious harm to human health and the ecological environment [In 1996, the EU published the first edition of the Technical Guidelines for Risk Assessment (TGRA), applicable to various chemicals , which dBP International, a well-known British multinational company, absorbed the methodology of major-accident-risk management used by multinational oil companies and formed a set of major accident risk-management processes . Marhavi(1)Theoretical research on risk assessment of hazardous chemicals. At present, risk-assessment research on major sources of hazardous chemicals mainly focuses on four aspects: multiobjective fuzzy theory , grey th(2)Qualitative-risk-assessment technology for hazardous chemicals. In March 2013, the Ministry of Environmental Protection issued the Guidelines for the Preparation of Environmental Risk Assessment Reports for Hazardous Chemicals under Key Environmental Management , and in (3)Quantitative risk-assessment technology for hazardous chemicals. Li Qiujin et al. conducte(4)The innovative application of computer technology in the risk assessment of major sources of hazardous chemicals. In terms of the risk assessment of major hazards in petrochemical enterprises, Liang Chenghao and L\u00fc Dong used theThe research status of risk-assessment technology used for hazardous chemicals in China can be divided into the following aspects:In summary, regional-risk-assessment research on hazardous chemicals in China started late, and there has been less research on the methods for assessing the leakage of hazardous chemicals into the sea. In the existing regional-risk-assessment methodology, most of the assessment objects are single risk factors, and there is a deficiency in that the comprehensive impact of other risk sources and sensitive resources in the study area is not fully considered.In this study, to carry out the risk assessment and zoning of hazardous chemicals leaking into seas, we developed a regional-risk-assessment index system for hazardous chemicals spilling into the sea, focusing on the whole coastal area of China.Due to the insufficient accumulation of risk data in the environmental field in China, it is difficult to scientifically define the risk level of each evaluation index. Therefore, by comprehensively drawing on the grading methods from previous research at home and abroad, based on the responsibilities of the Ministry of Natural Resources, this study initially established a risk-grading index system that incR is the regional-risk-assessment score, iC is the weight value of the specific indicator, and iS is the score of the indicator.Considering that environmental risks may arise from defects in any link in the risk system, the comprehensive evaluation of risk zoning adopts a combined algorithm of weighted summation and weighted multiplication. In the calculation of the criterion layer from specific indicators, different specific indicators represent different aspects of the same risk factor, and the weighted summation method is used to calculate the criterion layer following Equation (1). In addition, the analytic hierarchy process (AHP) and Delphi method (Delphi) are used to determine the weights, the weight coefficients between the criterion layer and each specific indicator are then determined, and the sum of the coefficients is maintained as 1 when determining the weights between specific indicators.The hazard assessment of hazardous chemicals should comprehensively consider the types of risk sources involved in hazardous chemicals, the types of hazardous chemicals, and the quantity of hazardous chemicals. The details are as follows:H1. Risk-source type: The probability of environmental accidents in various industry types is different, and we devided into three types: high-risk-industry types (H1. 1), medium-risk-industry types (H1. 2) and low-risk industry types (H1. 3). High-risk-industry types include chemical raw materials and chemical manufacturing, crude-oil processing and petroleum-product manufacturing; medium-risk-industry types include medicine, printing and dyeing, coatings, metal surface treatment and hot processing; low-risk industry types include steelmaking and steel rolling.H2. Hazardous chemical types: Different types of hazardous chemicals have different degrees of impact on the environment, and internationally, the European Standard Behaviour Classification System is generally used to classify the physical behavior of chemicals after entering the sea . AccordiH3. Toxicity of hazardous chemicals: The Joint Group of Experts on the Scientific Aspects of Marine Pollution (GESAMP) comprehensively considers the bioaccumulability, stability, and aquatic biological toxicity of hazardous chemicals and divides the ecotoxicity of hazardous chemicals into grades 1 to 6 ,36,37,38H4. Quantity of hazardous chemicals: Refers to the number of hazardous chemicals used, stored, and produced in the region. Based on the division of the \u201cList of Hazardous Substances and Critical Quantities of Environmental Emergencies\u201d of the Ministry in Environmental Protection\u2019s \u201cGuidelines for Risk Assessment of Environmental Emergencies in Enterprises ,\u201d considering the critical amount of hazardous chemicals in the region, it is divided into three levels: high, medium, and low.Regional risk tolerance is divided into two factors: disaster bearer and disaster-mitigation capacity. Disaster bearer comprehensively considers the background values of characteristic pollutants in the marine environment, the impact of topography and geomorphology, the connection to the ocean, the category of sensitive resources, and the distance from sensitive resources. Disaster-reduction capacities should take into account regional-risk-control capacities. The specific instructions are as follows:E1. Diffusion condition: Refers to the drift diffusion of hazardous chemicals after they enter the sea; the wider the scope of the diffusion, the greater the degree of its impact on the marine environment. The spread situation is divided into open sea, semi-enclosed bay, and harbor pool, and its impact on the marine environment is open sea > semi-enclosed bay > port pool.E2. Sensitive-resources category: With reference to the marine-water-quality standard , sensitiE3. Distance from sensitive resources: The distance from sensitive resources reflects the degree of damage caused by environmental accidents. After a spatial analysis of environmental risk sources and surrounding sensitive points through GIS, the distance from the most direct leakage point to the nearest environmentally sensitive point according to the risk source is divided into 3 levels: <3 km, 3 to 10 km, and \u226510 km.E4. Enterprise safety-production-standardization level: According to the provisions of the Administrative Measures for the Evaluation of Enterprise Safety Production Standardization , the safTo make the weights determined more representative and maximize the sample size, the relevant experts of the First Institute of Oceanography of the State Oceanic Administration, Xiamen University, Beijing Normal University, Beijing University of Chemical Technology, Dalian Maritime University, CNOOC Safety Technical Service Company, Beihai Environmental Monitoring Center of the State Oceanic Administration, and other units were invited to comprehensively construct a judgement matrix of expert scores to determine the relative importance of weights of each layer of indicators .According to the hazard scores of hazardous chemicals, the hazards of hazardous chemicals were divided into four levels .According to the regional-risk-tolerance scores, the regional risk tolerance was divided into four levels .According to China\u2019s current administrative management system, with the county (district) as the unit, a regional risk assessment was carried out, and the assessment scope was 10 km on the seaward side of the coastline and, on the landward side, up to the maximum-high-tide line, focusing on the risk sources for sources of dangerous chemical leakage into the sea, such as hazardous-chemical enterprises located within 1 km of the coastline on the landward side or adjacent to rivers entering the sea. The risk-assessment-level relationship of dangerous chemicals leaking into the sea area is shown in To test the applicability of the risk-source-assessment-index system, a typical enterprise in Tianjin Binhai New Area was selected as a research case for risk-source-level assessment. First, basic information, such as the geographical location coordinates, the types and quantities of hazardous chemicals involved, and the level of the enterprise\u2019s safety-production standards, was collected and sorted. Second, according to the \u201cTianjin Marine Functional Zoning\u201d (2011\u20132020), the conditions for the potential diffusion of chemicals into the sea from the company, the types of sensitive resources nearby, and their distance from sensitive resources were determined. Finally, the scores for each risk factor were calculated according to the established risk-assessment method for the leakage of hazardous chemicals into the sea . The comBy applying the recent research conducted at home and abroad to comprehensively consider the hazard and regional risk tolerance of hazardous chemicals, this study established a regional-risk-assessment-index system for hazardous chemicals spilling into the sea, including the type of risk source, the types of hazardous chemicals, the quantity of hazardous chemicals, the toxicity of hazardous chemicals, the diffusion conditions, the types of sensitive resources, the distance from sensitive resources, and the level of enterprise-safety-production standards. At the same time, a combination of the AHP and the Delphi method was used to determine the weights of the indicators, and comprehensive expert scores were assigned to the indicators. The index system not only takes into account the scientific rationality of index-setting and weight assignment, but also considers the applicability of the operationalization of risk assessment in the area in which hazardous chemicals are leaked into the sea. Unquestionably, there are still deficiencies in the risk assessment of hazardous chemicals leaking into the sea. The indicator system needs to be further adjusted and screened, the weight assignment needs to be further optimized and improved, and it is still difficult to obtain some indicators, such as the quantity of hazardous chemicals and the level of enterprise-safety-production standards.In the next step, we will select the Bohai Sea area, carry out the application of the risk-assessment methods for hazardous chemicals leaking into the sea, further improve the assessment method and indicator system, and provide good technical support for the comprehensive management of the Bohai Sea."}
+{"text": "Neisseria gonorrhoeae and gonorrhoea treatment failures were increasing, a response plan to control and manage multidrug-resistant N. gonorrhoeae (MDR-NG) in Europe was published in 2012. The three main areas of the plan were to: (i) strengthen surveillance of antimicrobial resistance (AMR), (ii) implement monitoring of treatment failures and (iii) establish a communication strategy to increase awareness and disseminate AMR results. Since 2012, several additional extensively drug-resistant N. gonorrhoeae (XDR-NG) strains have emerged, and strains with high-level ceftriaxone resistance spread internationally. This prompted an evaluation and review of the 2012 European Centre for Disease Prevention and Control (ECDC) response plan, revealing an overall improvement in many aspects of monitoring AMR in N. gonorrhoeae; however, treatment failure monitoring was a weakness. Accordingly, the plan was updated in 2019 to further support European Union/European Economic Area (EU/EEA) countries in controlling and managing the threat of MDR/XDR-NG in Europe through further strengthening of AMR surveillance and clinical management including treatment failure monitoring. The plan will be assessed biennially to ensure its effectiveness and its value. Along with prevention, diagnostic, treatment and epidemiological surveillance strategies, AMR surveillance is essential for effective control of gonorrhoea.Because cefixime and ceftriaxone resistance in Neisseria gonorrhoeae (NG) has developed antimicrobial resistance (AMR) to all classes of therapeutic antimicrobials, most recently to third-generation cephalosporins [N. gonorrhoeae across Europe, but the degree of representativeness is affected by suboptimal isolate numbers and low completeness of reporting [Gonorrhoea is the second most commonly reported bacterial sexually transmitted infection (STI) in the European Union/European Economic Area (EU/EEA), with 117,881 cases reported in 2019, representing an increase of 17% since 2018 [osporins . Surveilosporins . Euro-GAosporins . Additioosporins . A revieeporting .Response plan to control and manage the threat of multidrug-resistant gonorrhoea in Europe in 2012 [As a response to the emergence of in vitro resistance to cefixime and to treatment failures with cefixime and subsequently ceftriaxone in the EU/EEA and internationally , ECDC an in 2012 . Similar in 2012 and by n in 2012 and by t in 2012 . In addi in 2012 .Regular monitoring of the gonococcal AMR situation and AMR response plan indicators, and evaluating, reviewing and subsequent updating of national and international response plans are essential. Since the 2012 ECDC response plan was publDecreasing azithromycin susceptibility and sporadic resistance to ceftriaxone threaten the effectiveness of dual-therapy and ceftriaxone monotherapy regimens . CeftriaOur aim was to describe the evaluation of the 2012 ECDC response plan, by analysing the progress of indicators from 2012 to 2017, as well as the subsequent review and update of the response plan to further support EU/EEA countries in implementing national strategies and interventions to control the threat of multidrug-resistant (MDR)- and XDR-NG in a multidisciplinary approach.The main goal of the 2012 ECDC response plan was to mitigate the impact of MDR-NG on the prevention and control of gonorrhoea by serving as a guide for EU/EEA countries . Three mTo evaluate the effectiveness of the 2012 ECDC response plan , membersWe also assessed indicators related to Euro-GASP . The numDecreasing susceptibility to azithromycin, along with increasing reports of ceftriaxone-resistant strains and gonorrhoea treatment failures and of MDR/XDR-NG, made an evaluation, detailed review and update of the 2012 ECDC response plan imperative . The 201N. gonorrhoeae isolate data to the epidemiological and clinical data of the gonorrhoea cases.There are three main components in the 2019 ECDC response plan . FirstlyN. gonorrhoeae isolates should be collected and ideally reported promptly to ECDC. Where possible, N. gonorrhoeae XDR or ceftriaxone-resistant isolates and those from suspected treatment failures should be shared with the Euro-GASP hub for further verification, including whole genome sequencing, in order to inform the European guideline on the diagnosis and treatment of gonorrhoea [N. gonorrhoeae strain before and after treatment and to identify the presence of AMR determinants in treatment failure cases, but additionally has a role in improving AMR surveillance by providing a genomic background to monitor the molecular epidemiology of circulating strains , to detect new and emerging AMR determinants, to ultimately predict AMR and to investigate the genetic relatedness of isolates from national and international outbreaks [Secondly, a national agreement on adopting the treatment failure case definitions proposed in the 2019 ECDC response plan and an onorrhoea and to mutbreaks .Thirdly, the effectiveness of the 2019 ECDC response plan should be monitored at the national and European level . More deN. gonorrhoeae is imperative. The 2019 ECDC response plan should assist in controlling and managing the threat of MDR/XDR-NG in Europe through strengthening AMR surveillance and clinical management including treatment failure monitoring. The effectiveness of the 2019 ECDC response plan should be monitored regularly to identify and address areas for improvement promptly. Control of AMR in N. gonorrhoeae is ineffective without a comprehensive approach, therefore the 2019 ECDC response plan needs strong support from comprehensive management and control strategies nationally and internationally, including appropriate STI prevention (e.g. promotion of condom use), diagnostic and testing algorithms (e.g. triple-site testing in men who have sex with men), treatment, test of cure, notification and treatment of partners and robust epidemiological surveillance to identify key groups at risk of gonorrhoea and gonococcal AMR.Preventing further emergence and spread of AMR in"}
+{"text": "Plants have developed a complex biochemical system for interacting and coping with dynamic environmental challenges throughout their whole life. Plant secondary metabolites are specifically produced and accumulated in low quantities in response to numerous factors such as bacteria, viruses, fungi, nematodes, insects and herbivores, as well as to climatic factors and seasonal fluctuations, soil and water parameters, etc.To optimize secondary metabolites production, plants have fine-tuned early signal systems for differentiating general mechanical damage from an attack by an insect/herbivore, for example. In addition, plants distinguish the degree of damage caused by herbivore feeding guilds, insect oral secretions, oviposition fluids, etc. The consecutive steps of the production of the respective defense secondary metabolites is mediated by cellular messengers and events such as metabolic changes, gene activation, jasmonic acid (JA) accumulation, kinase cascades, hydrogen peroxide production, cytosolic calcium ion fluxes, as well as membrane potential changes and refeThe key role of secondary metabolites for plant survival also underline the pharmacological roles that these substances play in mammalian organisms and hence their applicability in veterinarian and humanitarian medicinal practices. Plant cell tissue and organ cultures are based on the \u201ctotipotency\u201d of the plant cell and its capability to regenerate up to a whole integral organism. The technique allows for the cultivation of separate cells, tissues, differentiated organs, or integral plants in a growth medium in sterile conditions and out of the indigenous natural environment of the plants. The contemporary development of the method has nowadays led to its routine use as a supplementary to conventional plant breeding for an array of applications such as the rapid and disease-free micropropagation of plantlets, independent of seasonal, climatic, and geographic factors; the rapid testing and practical introduction of new cultivars using conventional or genetic engineering selection approaches. An important and rapidly developing field of the application of plant biotechnology is its use for the yield of plant secondary metabolites, allowing for the standardization of the levels of the secondary metabolites produced due to the capability of tissue culture techniques to optimize culture conditions and obtain the desired environment for the production of the target compounds.Plants dedicated to \u201cPlant Tissue Culture and Secondary Metabolites Production\u201d. The present collection aims to provide readers with up-to-date research dedicated to the scientific accomplishments in the production of plant secondary metabolites of different chemical types through the development of plant cells, tissues, and organs in diverse in vitro culture systems.Considering the importance of plant secondary metabolites and the high relevance of the establishment of scientifically based approaches for their biotechnological production, we are pleased to present this Special Issue of We have received seven scientific research papers on tissue culture development and secondary metabolite production of medicinal and aromatic plants of different regions of the world.Bidens pilosa L. (Asteraceae), dominated by chlorogenic acids consisting of caffeoyl and feruloyl derivatives of quinic acid. Xanthones production in differentiated shoot cultures of the endangered Gentianella lutescens (Gentianeceae) was evaluated for the first time by Krsti\u0107-Milo\u0161evi\u0107 et al. [Daucus carota, Apiaceae) callus culture experimental design of a combination of the components of the Gamborg [3:NH4 ratio affected carotenoid accumulation. In this work, changes to the medium other than N, such as microelements, vitamins, growth regulators, and sucrose, had no effect on callus growth and carotenoid accumulation. Mamdouh et al. [Lycium schweinfurthii (Solanaceae). Investigations on genetic stability, phenolic, flavonoid, ferulic acid contents, and antioxidant activity were performed, leading to the selection of an effective protocol for the in vitro propagation of plant material with desired quality. Erst et al. [3, as well as NH4:K+ ratio and the cytokinins BAP and naphthylacetic acid (NAA) on the growth and production of total phenolics callus culture of Rhodiola rosea (Crassulaceae). The study of Pieracci et al. [Artemisia caerulescens L. (Asteraceae) demonstrated the potential of the tissue culture technique for both the ex situ conservation and production of essential oils and phenolic compounds of this species.Ramabulana et al. establis\u0107 et al. in an ex\u0107 et al. proposed Gamborg and Mura Gamborg culture Gamborg establish et al. developet et al. studied i et al. on shoot"}
+{"text": "Allium sativum L., Persea americana Mill., Moringa oleifera Lam., Mangifera indica L., and Allium cepa L. are the five most utilised plant species. The preferred plant parts include the leaves (36%), roots (21%), barks (14%), fruits (7%), and seeds (5%), which are mostly prepared by decoction. Benin, Mauritius, Nigeria, South Africa, and Togo had the highest reported use while most of the investigations were on diabetes and hypertension. Despite the nutraceutical advantages of some of these MPs, their general toxicity potential calls for caution in their human long-term use. Overall, the study established the need for governments of SSA countries to validate the efficacy/safety of these MPs as well as provide affordable, accessible, and improved modern healthcare services.Cardiovascular diseases (CVDs) are the leading cause of global mortality, including deaths arising from non-communicable diseases in sub-Saharan Africa (SSA). Consequently, this study aimed to provide details of medicinal plants (MPs) employed in SSA for the treatment of CVDs and their related risk factors to open new avenues for the discovery of novel drugs. The extensive ethnopharmacological literature survey of these MPs in 41 SSA countries was based on studies from 1982 to 2021. It revealed 1,085 MPs belonging to 218 botanical families, with Fabaceae (9.61%), Asteraceae (6.77%), Apocynaceae (3.93%), Lamiaceae (3.75%), and Rubiaceae (3.66%) being the most represented. Meanwhile, Cardiovascular diseases (CVDs), a group of disorders involving/affecting the heart and blood vessels, are the chief cause of death in the world ,2,3,4,5.2 were used.An extensive literature retrieval, principally from published scientific journals, was used to obtain the required ethnopharmacological information. This was based on studies from 1982 to 2021 with the application of single or combinations of keywords such as medicinal plants, cardiovascular diseases and treatment, diabetes, hypertension, obesity, stroke, and the different names of SSA countries. Major scientific electronic databases , as well as other internet sources, were consulted. To verify the scientific names and families of the identified MPs, other databases such as The Plant List and The World Flora Online [Based on the goal/theme of the review, information gathered from the literature survey, which include the name of the MPs , family, plant part used, modes of usage/preparation, therapeutic use, and the SSA countries involved, were analysed, as well as grouped accordingly.Descriptive statistical analysis of the ethnopharmacological data obtained was achieved using Microsoft Excel software while a readily available bioinformatics web tool was usedA. sativum is the most employed MP, which indicates its obtainability in many parts of the region and suggests the presence of potent bioactive compounds in the plant against the development of these diseases.To aid the research on CVDs and production of novel drugs, this comprehensive ethnopharmacological review provides the necessary details of MPs used for the treatment of CVDs and their associated risk factors in SSA. The study revealed that SSA has a rich history in the use of MPs for the treatment of the diseases of focus and a wealth of knowledge in TM, which some individuals in the region rely on for their health needs. The results showed that there are five dominant botanical families of MPs that have been used in SSA for CVD treatment, with some of the MPs having nutraceutical applications because of their edible parts. The ease of collection of MPs\u2019 leaves contributing to their high percentage use shows that the availability of effective and affordable drugs for the treatment of these diseases in the region would assist in encouraging the use of modern medicine. This will also safeguard consumers against the unexpected risk of certain toxic compounds in these MPs and the possible negative effects of overdoses arising from unregulated use. The reliance on decoction as a mode of preparation of these MPs (despite its inherent short shelf-life disadvantage), as well as the major focus on diabetes and hypertension, call for enlightenment, scientific engagements, and urgent government intervention to reduce the number of people suffering from CVDs in the region.Most importantly, the investigation points out the need for governments of SSA countries such as Nigeria and South Africa, with the high percentage use of MPs reported for these diseases, to provide affordable/accessible high-quality modern healthcare services for the populace. Validation of the claimed medicinal/pharmacological potentials and safety assessment of MPs used in the region for CVDs treatment are also encouraged."}
+{"text": "The problem of coexistence of heteroaggression and autoaggression most clearly manifests itself in the field of forensic psychiatry. For example, in Russia, about 25% of criminals who committed aggressive actions had a history of suicide attempts.Identification of specific personality traits in individuals with multidirectional aggression.In a continuous one-step study, relatively sane adults of both sexes were examined: 38 persons undergoing forensic examination with multidirectional aggression and 34 violent criminals. A wide range of forensic psychological techniques is used to identify aggression, suicidogenic and inhibitors of aggression. Nonparametric statistical methods were used: Spearman rank correlation coefficient (r) and Mann-Whitney (U).The leading role in the genesis of multidirectional aggression, in contrast to other types of aggression, playing the combination (p<0.01) to the presence of motivational aggressiveness and the willingness to show negative feelings at the slightest arousal , along with suicidal personal qualities, which is combined with the deficiency of auto- and heteroaggression inhibitors . However, the psychological mechanisms of multidirectional aggression are relatively non-nosospecific and are similar in mentally healthy individuals and individuals with personality and organic mental disorders.Multidirectional aggression in view of the increased risk of recidivism and personal and public danger should be taken into account by forensic experts when recommending psychocorrective measures in places of deprivation of liberty.No significant relationships."}
+{"text": "As a urinary dysfunction disorder, stress urinary incontinence (SUI) is more common in women than in men. Acupuncture, a traditional minimally invasive technique, has potential efficacy in the treatment of SUI. The purpose of this overview is to critically assess the available evidence on acupuncture for the treatment of SUI in women. Two researchers searched seven databases for systematic reviews (SRs)/meta-analyses (MAs) of randomized controlled trials (RCTs) on acupuncture for SUI. Two researchers assessed the included SRs/MAs using the Assessment of Multiple Systematic Reviews 2 (AMSTAR-2), the Risk of Bias in Systematic (ROBIS) scale, the list of Preferred Reporting Items for Systematic Reviews and Meta-Analysis (PRISMA), and the Grading of Recommendations Assessment, Development, and Evaluation (GRADE) system. Eight published SRs/MAs were included in our overview. According to the results of the AMSTAR-2 assessment, all SRs/MAs were of very low quality. According to the ROBIS evaluation results, no SR/MA was assessed as low risk of bias. According to the results of the PRISMA checklist assessment, no SR/MA was fully reported on the checklist. According to GRADE, a total of 27 outcomes extracted from the included SRs/MAs were evaluated, and only 1 was rated as high quality. Acupuncture may be an effective and safe complementary treatment for SUI in women. However, further standard and comprehensive SRs/MAs and RCTs are needed to provide an evidence-based medical rationale for this. As a form of dysfunction disorder, stress urinary incontinence (SUI) is the most common type of urinary incontinence. It is defined as the involuntary flow of urine due to physical exertion or effort, coughing, or sneezing . SUI hasThe main treatment modalities for SUI include lifestyle interventions, electrical stimulation, pelvic floor muscle training (PFMT), medication, and surgery . The AmeAs a minimally invasive treatment method, acupuncture has a history of more than 2,500 years in China and is gaining more and more international attention in the field of healthcare . With itThe methodology of this study follows the Cochrane manual, as well as the study methods of some high-quality SRs/MAs overviews \u201312.The criteria for inclusion of SRs/MAs in this overview are as follows: (1) Study design: This overview includes SRs/MAs of randomized controlled trials (RCTs) of the acupuncture on SUI; (2) Type of participants: Female subjects diagnosed with SUI based on any authoritative national or international diagnostic criteria regardless of race, age, gender, time of onset, and source of cases; (3) Intervention: The control group received the following treatments: Conventional medication (CM), rehabilitation training (RT), sham acupuncture (SA), and placebo. The intervention group received acupuncture treatment, including plum blossom acupuncture, fire acupuncture, electro-acupuncture, body acupuncture, manual acupuncture, warm acupuncture, or acupuncture therapy in combination with the treatments received by the control group; (4) Outcome indicators: Outcomes assessed in this overview include: Effective rate, 1-hour pad test, international consultation on incontinence questionnaire short form (ICIQ-SF) score, visual analog scale (VAS) score, and adverse reactions.The criteria for exclusion of SRs/MAs in this overview are as follows: (1) Animal studies; (2) Network MAs, research protocols, narrative reviews, overviews, dissertation, and conference abstracts.Literatures were retrieved from PubMed, Cochrane Library, EMBASE, Chongqing VIP, Wanfang Database, CNKI, and SinoMed on 1 January 2022. We adopted a search strategy combining keywords with free words, and the keywords include acupuncture, urinary incontinence, systematic review, and meta-analysis. The literature search strategy shown in of the PThe literature screening (HS-S and LZ-Z) and information extraction (WB-L and ZC-W) were performed independently by two researchers. We firstly input the retrieved documents into Endnote X9 document management software, and then removed the duplicates. The literatures that potentially met the inclusion and exclusion criteria were then obtained by reading the titles and abstracts. Eventually, we finalized the included SRs/MAs by reading the full text. A standardized data extraction form was adopted to extract relevant information for the inclusion of SRs/MAs. The following information was extracted from each SR/MA: First author, year of publication, author nationality, number of RCTs included, sample size, intervention group measures, control group measures, tools used to assess the risk of bias, and main findings.Two researchers (PL-L and D-W) independently assessed the methodological quality and certainty of quality of the included SRs/MAs.The methodological quality of the included SRs/MAs was assessed by the Assessment System for Evaluating Methodological Quality 2 (AMSTAR-2) . Seven (The Risk of Bias in Systematic Review (ROBIS) scale waThe quality of each SR/MA report of the included SRs/MAs was evaluated by the list of PRISMA which coThe certainty of quality for each SR/MA outcome was evaluated by The Grading of Recommendations Assessment, Development, and Evaluation (GRADE) , and fivA total of 166 publications were retrieved from seven electronic databases. Nine publications were retrieved for full-text evaluation after the duplicates removal and title/abstract screening. One paper was exclThe characteristics of the 8 SRs/MAs included in our final evaluation were summarized, as shown in Regarding the methodological quality of the included SRs/MAs, all were considered to be of very low quality because more than one key item was missing from the SRs/MAs included in the quality assessment. Methodological quality limitations come from the following items: Items 2 was the most common downgrading factor, followed by risk of bias (n\u2009=\u200913), inconsistency (n\u2009=\u200913), imprecision (n\u2009=\u20099), and indirectness (n\u2009=\u20090). GRADE specific assessment details are shown in The 8 SRs/MAs included 27 outcomes related to the effectiveness of acupuncture for SUI. For all the outcome indicators, 1 was rated as high quality, 10 moderate, 6 low and 10 very low by means of the GRADE evaluation. Publication bias SRs/MAs were published in the last five years, indicating that acupuncture had received increasing attention as an important intervention modality for SUI in women.Based on the results of the AMSTAR-2, ROBIS, and PRISMA evaluation in this overview, the methodological and reporting quality of the SRs/MAs were unsatisfactory. Only two SRs/MAs contained initial research protocol registrations, the lack of which could lead to non-standardization of the research process, increase the risk of bias and impact the rigor and credibility of the final SRs/MAs results. All of the included SRs/MAs lacked a search of the gray literature, which made it difficult to ensure the comprehensiveness of the literature search and tended to generate publication bias. None of the SR/MA provided a complete list of exclusions for each study, which may affect the reliability of the results and assessment of publication bias. The provision of a list of exclusion researches can be a stronger demonstration of the rigor of the literature screening process. No SR/MA reporting was included in the RCT's funding resources, which may increase the bias in clinical trials as the results of corporate-funded studies may be biased in favor of the funder. None of the SR/MA provides comprehensive search strategies, which reduced the reproducibility and credibility of the study. In addition, the lack of reporting of conflicts of interest also potentially affected the credibility of the article.Based on the GRADE assessment, publication bias was deemed as the most significant downgrading factor. Further analysis revealed a risk of publication bias for the outcome indicators included in the SRs/MAs, which may be related to incomplete searches and the insufficient number of RCTs included in the relevant outcomes. In addition, other reasons for the downgrading risk of bias included: Most of these RCTs mentioned randomization without giving the randomization method; most didn't conceal allocation; and most didn't use blinding method or just used single blinding. Declining certainty of quality due to inconsistency may stem from substantial clinical and methodological differences in the included RCTs, which could be avoided by standardizing the inclusion and exclusion criteria as well as the literature screening process.Descriptive analysis suggested that acupuncture was an effective treatment for SUI in women with a high safety profile. However, due to the low methodological quality and certainty of quality of the included studies, these findings may deviate from the actual results. Therefore, caution should be exercised when recommending acupuncture as a complementary intervention for SUI in women.Featuring unique advantages, acupuncture therapy plays an integral role in the treatment of urinary incontinence. Acupuncture works by repeatedly stimulating the points within the body by needling the control points of the bladder and sphincter muscles, thus effectively repairing and improving the body's various control functions .This paper gave a comprehensive assessment of all aspects of the included SRs/MAs using AMSTAR-2, PRISMA, ROBIS, and GRADE, and the methodological quality and certainty of quality were found unsatisfactory. As implied, there is still considerable scope for addressing the quality issues in the process of conducting SRs/MAs. When selecting topics for SRs/MAs, investigators should register or publish study protocols in advance to minimize the risk of bias and ensure the standardization of SRs/MAs. The search for gray literature, complete search strategy and the list of excluded literature need to be supplemented in SRs/MAs, which can reduce publication bias and improve the certainty of quality. A list of funding for RCTs and declarations of conflicts of interest need to be provided to increase the credibility of SRs/MAs. In addition to this, the specific nature of acupuncture treatment makes it difficult to perform a blinded acupuncture-related RCT. However, patients, care providers, and outcome evaluators should be blinded whenever possible to minimize the risk of bias. A well-designed and rigorously executed RCT is believed to be the gold standard for evaluating interventions to minimize or avoid bias . AcupuncOur overview is the first to use AMSTAR2, ROBIS, PRISMA, and GRADE to evaluate SRs/MAs regarding acupuncture for the treatment of female SUI. The evaluation process revealed clear limitations of the current relevant SRs/MAs and RCTs, which may help boost the quality of future clinical studies. However, the overview may have some limitations due to the subjectivity of the evaluation. Although our evaluation had been assessed and reviewed by two independent reviewers, different reviewers may have their own judgments about each factor, so the results may vary. In addition, for different SRs/MAs included in this overview, the definition of effective rate is not mentioned.In conclusion, acupuncture is a beneficial and safe way to treat SUI in women. However, due to the generally low methodological quality and certainty of quality in the included SRs/MAs, clinicians should approach these findings with caution in their practice."}
+{"text": "Having valid information on mortality within a country is of great importance for public health planning. This includes knowing the causes of death (CoD) within a population. However, these data are not always suitable for Burden of Disease calculations from the start and hence, need some realignment in advance. The CoD statistics in Germany include a relatively high share (26% in 2017) of ill-defined deaths (IDD) - using the definition of the Global Burden of Disease Study. Additionally, only the underlying CoD is included in the national statistics and no multicausal data are available yet. As part of the German Burden of Disease project BURDEN 2020 we redistributed IDD to valid CoD using a process of proportional redistribution. To do so, we made use of the distribution of the valid ICD-codes in the data. In the proposed presentation, we use examples of stroke, diabetes, and heart failure to illustrate how IDD were reallocated. After redistribution, the largest increases for both women and men were seen for lower respiratory infections, diabetes mellitus, and stroke. The numbers of deaths for these causes more than doubled after redistribution. Within this project, we carried out the first comprehensive redistribution of IDD for German CoD statistics."}
+{"text": "Sedation and analgesia (SA) management is essential practice in the pediatric intensive care unit (PICU). Over the past decade, there has been significant interest in optimal SA management strategy, due to reports of the adverse effects of SA medications and their relationship to ICU delirium. We reviewed 13 studies examining SA practices in the PICU over the past decade for the purposes of reporting the study design, outcomes of interest, SA protocols used, strategies for implementation, and the patient-centered outcomes. We highlighted the paucity of evidence-base for these practices and also described the existing gaps in the intersection of implementation science (IS) and SA protocols in the PICU. Future studies would benefit from a focus on effective implementation strategies to introduce and sustain evidence-based SA protocols, as well as novel quasi-experimental study designs that will help determine their impact on relevant clinical outcomes, such as the occurrence of ICU delirium. Adoption of the available evidence-based practices into routine care in the PICU remains challenging. Using SA practice as an example, we illustrated the need for a structured approach to the implementation science in pediatric critical care. Key components of the successful adoption of evidence-based best practice include the assessment of the local context, both resources and barriers, followed by a context-specific strategy for implementation and a focus on sustainability and integration of the practice into the permanent workflow. Optimal sedation and analgesia (SA) management are critical components of care in the pediatric intensive care unit (PICU) and an essential piece of the ICU Liberation ABCDEF Bundle , 2. SedaSeveral studies have examined the impact of SA regimens on clinical outcomes in critically ill infants and children over the past decade 5\u201316). \u201316. 5\u201316A variety of outcomes were considered in these studies. Exposure to SA medications was the most common outcome assessed after the implementation of an SA regimen. Of the 13 studies included in this review, 12 92%) studies had interventions examining initiation and titration of SA medications and 8 (62%) included a sedation/analgesia weaning protocol. In total, 11 studies 85%) demonstrated a significant reduction in either duration or total dose of opiates, benzodiazepines, or another sedative of interest. Patient-centered benefits were explored in some of the studies with variable results % demonst, 9\u201314. M2% studieImplementation strategies were described in 11 (85%) studies and predominantly included educational modules, visual aids, and bedside local champions. The majority of implementation strategies center around educational efforts, despite the fact that educational efforts are known to be relatively weak interventions . Some stRandomized Evaluation of Sedation Titration for Respiratory Failure (RESTORE), a multicenter unblinded cluster-randomized trial that included 31 PICUs in the United States , was theThe 2022 Society of Critical Care Medicine Clinical Practice Guidelines on Prevention and Management of Pain, Agitation, Neuromuscular Blockade, and Delirium in Critically Ill Pediatric Patients With Consideration of the ICU Environment and Early Mobility (PANDEM guidelines) reviewed many of these studies , inability to engage non-verbal patients with non-pharmacologic interventions, concerns about medication effects on long-term neurocognitive outcomes, and the need to balance the depth of sedation with patient safety (such as unplanned extubations or line/tube dislodgment events) . ProtocoThe evidence for best SA practices remains scarce with respect to patient-centered outcomes, which may limit provider buy-in, even in the context of increased interest or motivation to change practice. The lack of newer effective drugs with acceptable pediatric safety profiles limits our choice of sedative agents. For example, the use of propofol as a long-term sedative agent is declined in children over the past decade due to concerns for propofol infusion syndrome and increased mortality . MidazolAdditionally, most of the interventions in this cohort relied on weak implementation methods, such as educational modules. Several studies recognized the importance of providing bedside clinical decision support (CDS), particularly in the early phase post-implementation, to ensure compliance and sustainability beyond the immediate implementation period , 10, 12.Further barriers in implementation include cultural context barriers, i.e., readiness of the local environment for change, as well as other practical limitations, such as resource requirements, staffing models, lack of PICU or institutional leadership investment, and lack of effective teamwork and collaboration skills , 28. TheThe studies of SA regimen efficacy in the PICU highlight an important gap in IS in pediatric critical care. IS addresses the effective translation of evidence-based guidelines into bedside practice and is an emerging field of study in critical care . SpecifiIn pediatric critical care, barriers to effective implementation of new guidelines are multifactorial and span different levels of the healthcare delivery system. A recent study using the integrated Promoting Action on Research Implementation in Health Services (iPARIHS) framework across 58 professionals in 8 United States PICUs utilized structured interviews to examine barriers, facilitators, and processes for change . Common In addition to continuing clinical research studies targeted at understanding best SA practices in pediatrics, there should be a parallel effort to specifically examine the adoption and sustenance of the intervention using IS-specific methodology. In addition to the development of an evidence-based intervention, strategically ensuring the successful implementation and sustainment of the intervention is critical to short-term and long-term success. Successful implementation may require effective education, ongoing just-in-time CDS, continuous feedback and evaluation, and strategic planning based on local contextual factors. IS seeks an understanding of why or how an intervention is successful. For example, although the comprehensive ICU Liberation Bundle highlights guidelines related to early mobility, SA practices, and daily extubation readiness assessment for improving patient outcomes, successful implementation has not been consistently demonstrated, and current investigations focus on barriers, such as culture change , 28, 30.Implementation science methodology includes tools, such as implementation mapping, traditional quality improvement (QI) tools, education, and concept mapping , 31. ImpA recent review provides an overview of the associated theories, models, and frameworks of IS . The autAnother potentially useful tool for IS is the Dissemination and Implementation (D&I) Models in Health Research and Practice available through the National Institutes of Health . The D&ISince many protocols and materials rely on team-based approaches, educational material should emphasize the role clarity of team members, as well as identify and employ specific skills and knowledge unique to each team member. This requires an interdisciplinary approach at all stages of implementation, from intervention design to execution to auditing, maintenance, and accountability . Common There is heightened interest in employing best practices related to SA regimens in pediatric critical care. There are several studies that have examined the role of evidence-based novel SA regimens in the PICU population, and this area of research has the promise to achieve improvements in patient outcomes. The existing literature on the subject could be significantly enhanced by emphasis on the systematic implementation of the interventions. Research in SA protocol implementation is met with numerous challenges . The intYY and NM conceived the design of the manuscript. YY performed the review of the studies and prepared the manuscript draft. AG, KM, and NM reviewed and edited the manuscript. All authors approved the final version of the manuscript.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest.All claims expressed in this article are solely those of the authors and do not necessarily represent those of their affiliated organizations, or those of the publisher, the editors and the reviewers. Any product that may be evaluated in this article, or claim that may be made by its manufacturer, is not guaranteed or endorsed by the publisher."}
+{"text": "The proceeding focused on case studies of patients with diverse affections, mainly depression, cognitive impairment, and discussed the role of neurotrophic factors.Within the \"17th year of intense collaboration, benefitting from a strong endorsement from the World Federation of Neurology (WFN), World Federation of Neurorehabilitation (WFNR), European Federation of NeuroRehabilitation Societies (EFNR), European Academy of Neurology (EAN), and many other organizations. Prof. Muresanu made a stance on working together on a significant topic at the European level, namely the concept of \"brain health\", which presumes a close collaboration between neurology and psychiatry, outlining his belief that the future would bring together the two disciplines due to the fantastic advances, with a strong accent being placed on the interdisciplinary approach.Prof. Dafin Muresanu, the EFNR President, delivered his thoughts on the 17Adela Ciobanu (Romania), Habilitated Professor of Psychiatry at Carol Davila University of Medicine and Pharmacy in Bucharest (Romania), and Head of 1st Clinical Department at Professor Dr. Alexandru Obregia Hospital (Romania), presenting the management of treatment-resistant depression in the elderly. Prof. Ciobanu followed the case of a 75-year-old woman with a depressed mood, anxiety, and insomnia, describing behavioral traits, treatment history, and symptoms. A very in-depth presentation of the mental state examination was provided, the diagnosis \u2013 including differential diagnosis \u2013 and the treatment approach. One crucial point of her lecture was that treatment-resistant depressive disorders often occur in current medical practice, raising issues on differential diagnosis. Moreover, Prof. Ciobanu stated that these clinical cases must be addressed individually and highlighted the role of Cerebrolysin as adjuvant therapy for addressing treatment resistance.The first session of the day introduced Brindusa Focsaneanu (Romania), Senior Lecturer at the Department of Psychiatry from the Faculty of Medicine at Titu Maiorescu University of Bucharest and the Head of the Psychiatry Department VIII within the Hospital Prof. Dr. Al. Obregia (Romania), presented the topics of depression and cognitive impairment, discussing therapeutic approaches for a case report on a 60-year-old woman experiencing a depressive episode with anxiety, behavioral and mood imbalance, somatic symptoms and others. She discussed the public health and epidemiological aspects of mental and neurological disorders in older adults, signalling the role of neurotrophic factors in the modulation of synaptic transmission and their part as a therapeutic strategy in certain neurological disorders. The fascinating presentation showcased a descriptive insight into the patient's pathway in the medical system. Dr. Focsaneanu compared the expected and actual outcomes and pinpointed the importance of cognitive testing, obtaining a detailed patient history, and implementing longitudinal follow-up. Moreover, Dr. Focsaneanu discussed the risks of dementia for older people with depression and the role of neurotrophic factors in aiding neurorecovery and the preservation of cognitive function.Andreea Szalontay (Romania), Associate Professor of Psychiatry at Grigore T. Popa University of Medicine and Pharmacy and Head of Clinical Psychiatry VI from the Socola Institute of Psychiatry in Iasi (Romania), presented a case of mild cognitive impairment after infection with SARS-CoV-2. Offering an epidemiological context on SARS-CoV-2 and cognitive decline, Prof. Szalontay mentioned the effects of COVID on bodily systems and highlighted the cognitive decline and the persistence of symptoms in patients with the infection. One point of her presentation was that the pandemic might contribute to the future increase in the world dementia burden. Her insightful and comprehensive case studies showcased the importance of multidimensional approaches and the effect of neurotrophic factors, such as Cerebrolysin, in the treatment of cognitive deterioration.Romeo Dobrin (Romania), Associate Professor of Psychiatry at Grigore T. Popa University of Medicine and Pharmacy and Head of Section IX at the Socola Institute of Psychiatry in Iasi (Romania), approached the efficacy of neurotrophic factors in neurocognitive disorders. Prof. Dobrin discussed the concept of senescence and dementia, presenting the stages of the disease and highlighting the symptoms and manifestations. Furthermore, based on a case report on mixed dementia, he highlighted the importance of comprehensive approaches, including mental state examination, Alzheimer's assessment, anamnesis, differential diagnosis and clinical data, showcasing the disease progression and presenting therapeutic objectives and further assessment. Finally, he outlined essential points on the management and perspectives of dementia, pinpointing the importance of a larger-picture approach, including research, medicine, and public health perspectives.Mihai Mutica (Romania), Psychiatrist at Elisabeta Doamna Psychiatry Hospital in Galati (Romania), ended the session with \"Mild Cognitive Impairment in a Patient with Polymorphic Symptoms\". Dr. Mutica showcased a case study with complex presentation and favorable outcomes, discussing the results of psychiatric examination, the effect of the treatment, and the management of the patient, pinpointing the importance of individualized approaches for anxiety affective symptoms presenting with cognitive impairment, advising the audience to take precautions when making assumptions about psychiatric disorders and their relation to future dementia.Virgil Enatescu (Romania), Habilitated Professor of Psychiatry at the Victor Babe\u0219 University of Medicine and Pharmacy in Timisoara (Romania), who presented \"The Efficacy of Neurotrophic Factors in A Case Of Minor Cognitive Disorder Comorbid With Bipolar I Disorder And Sequelae Of Cerebral Infarctions\". Prof. Enatescu discussed, based on a case study on bipolar disorder presenting with mild cognitive symptoms, the prognosis of bipolar disorders, genetic vulnerabilities, and comorbidities. Furthermore, he described the patient's pathway and the outcomes, pinpointing the impact of cognitive dysfunction on the psychosocial outcomes in patients with bipolar disorder. Cerebrolysin, as the potential aid in the treatment of a variety of debilitating neurological conditions, was also an important topic touched upon.The second session introduced Catalina Giurgi-Oncu (Romania), Senior Lecturer in Psychiatry at the Department of Neuroscience from Victor Babes University of Medicine and Pharmacy of Timisoara (Romania), presented \"A significant improvement of affective symptoms and Theory of Mind abilities in a patient treated with neurotrophic factors for a Mild Cognitive Disorder\". Dr. Giurgi-Oncu discussed mild cognitive impairment and the risk of developing further dementia, approached the impact of emotional health on social functioning, and glimpsed through the effect of depressive disorders on social interactions, highlighting the \"Theory of Mind\" concept encompassing affective and cognitive components. An exciting case study was presented, highlighting diagnostic criteria for mild cognitive impairment, epidemiology and risk factors, procedures of screening, evaluation, and early detection, and recommendations for follow-up and prognosis.Adriana Mihai (Romania), Associate Professor at the Psychiatric Department from the University of Medicine, Pharmacy, Science and Technology George Emil Palade in Targu Mures (Romania) and Director of the Centre of Psychotherapy and Personal Development (IPPD), showcased her presentation \"Vascular neurocognitive disorder \u2013 presentation of a clinical case with language disturbances\", highlighting cognitive disorders, especially vascular dementia, as a common cause of neurocognitive disorders post-Alzheimer's disease. Furthermore, Prof. Mihai presented epidemiological aspects and the characteristics of vascular dementia and introduced a fascinating clinical case presentation of acute psychotic disorder. Lastly, prof. Mihai discussed the importance of collecting comprehensive information on patients, especially on cases with less common manifestations, as the paradigm for treatment in psychiatry is a symptomatic one.Claudia Anghel (Romania), Psychiatrist at the Psychiatric Hospital Dr. Gh. Preda in Sibiu (Romania) and President of the NGO Psychiatric Hospital Association Dr. Gh. Preda, focused on \"Electroconvulsive therapy \u2013 between necessity and stigma\", discussing the mechanisms of electroconvulsive therapy and the impact of technological advancements while mentioning the possible complications and contraindications when using this therapy. For a better understanding, Dr. Anghel pinpointed the history of ElectroConvulsive Therapy (ECT) therapy in their hospital and the issues related to stigma and the portrayal of ECT in media, urging for improved education on this therapy. Lastly, in a case study on undifferentiated schizophrenia, the impact of ECT was highlighted. In the end, she invited the public to reflect on some aspects of ECT, including the avenues for changing societal perception of this medical technique.Doina Cozman (Romania) underlined the importance of showing great attention to mild cognitive impairment in people over 50 years of age, as this syndromologic diagnostic is chameleon-like, taking many possible forms and, in some cases, leading to dementia or depression, or even causing several psychiatric or somatic issues. Other critical points showcased were the relevance of the Montreal Cognitive Assessment (MoCA) test in cognitive assessment, the vital role of multidisciplinarity, and the interrelations of psychiatry and neurology. The parallel psychiatry session from the 17th International Summer School of Neurology stands as an example of the importance of transdisciplinary perspectives in neurosciences.In the form of discussions and final remarks,"}
+{"text": "RSC Advances article due to concerns with the reliability of the data in the published article. The authors confirmed that the western blot images in Fig. S3A had been inappropriately manipulated. Given the significance of the concerns about the validity of the data, the findings presented in this paper are no longer reliable.The Royal Society of Chemistry, with the agreement of the named authors, hereby wholly retracts this Fang Liu, Jing Wang and Xiu-Wei Yang were contacted but did not respond.Signed: Qi Zhao, Rui Yang, Dan-Dan Hu and Fei LiDate: 23rd January 2023RSC AdvancesRetraction endorsed by Laura Fisher, Executive Editor,"}
+{"text": "Mental disorders in Europe represent the leading cause of disability and the third leading cause of overall disease burden, following cardiovascular disease and cancers. As future healthcare professionals, with an imminent role in tackling this global health issue, we acknowledge that Mental Health is not adequately included in the medical curriculum. To address this gap, this workshop was created to equip medical students with the knowledge and skills that will empower them to lead a pioneering role in advocating for mental health for their patients, peers, and communities.By the end of the workshop, all participants should have: - Increased their knowledge in the field of Mental Health disorders - Increased their skills in the field of Mental Health - Explored the relations between stigma, vulnerability, and Mental Health - Strengthened the international perspective and global understanding concerning mental health issuesThis workshop utilized principles of non-formal education and was planned according to the 4MAT system to meet all four learning styles through theory blocks, space for reflection, practical application of knowledge, and future opportunities for application of content. This was achieved through various methodologies including presentations, self-discovery activities and exercises, roundtable debates, simulations, and role-playing.obtainedThis workshop highlighted the importance of building the capacity of medical students to tackle the burden of Mental Health globally and within the region, and how similar student-led initiatives can further empower them to be change agents and impactful advocates for better Mental Health in their own communities."}
+{"text": "To examine links between Adverse Childhood Experiences (ACE) categories and diagnosis of antisocial personality disorder (ASPD) in this population; it is predicted that there will be a positive association between number of ACEs and ASPD. The effectiveness of high secure hospital admission and treatment in reducing number of risk incidents was also examined. ACEs are known to impact significantly on the development of the personality and future psychiatric risk. Currently, research into links between distinct ACE categories and the diagnosis of ASPD in the high-secure inpatient population is limited.Data were collected from a sample (n = 221) including all patients in the Mental Health, Personality Disorder and Women's Services at a high-secure hospital. Records were examined for evidence of abuse/neglect during childhood, and a number of markers of household dysfunction. The statistical relationship between each ACE category and subsequent diagnosis of ASPD was examined through paired t-tests. Frequency of incident reports (IR1s) involving violence was compared in the first, third and fifth years post-admission.Significant associations with adult diagnosis of ASPD were seen in categories of childhood physical abuse, sexual abuse, divorced/separated parents, Looked After Child (LAC) status and parental substance misuse, and total number of ACE categories present overall. Significant reductions in frequency of IR1s were seen in all services between first- and fifth- year post admission.A significant association between ACEs in specific domains and ASPD in adulthood was found. The importance of detailed exploration of childhood circumstances in this group is highlighted, as well as the need for further investigation of the psychological and social mechanisms underlying."}
+{"text": "Parkinson\u2019s disease (PD) is taking a staggering toll on healthcare systems worldwide, with the bulk of the expenditures invested in the late stages of the disease. Considering the rising life expectancy and the increasing prevalence of PD across the globe, a clear understanding of the early signs and treatment options available for advanced PD (APD), will facilitate tailoring management programs and support services. This task is complicated by the lack of both global consensus in defining APD and standardized care guidelines. This perspective prepared by a panel of movement disorder specialists, proposes to extend and optimize currently accepted PD coding to better reflect the diverse disease manifestations, with emphasis on non-motor features. The panel seeks to promote timely diagnosis by adjustment of evaluation tools for use by community neurologists and suggests modification of eligibility criteria for advanced therapy. Moreover, it advocates multidisciplinary assessments of APD patients to drive personalized, patient-centered and holistic management. Overall, earlier and more targeted intervention is expected to markedly improve patient quality of life. Parkinson\u2019s disease (PD) currently affects 41 in 100,000 individuals between the ages of 40 and 49 and 1,607 in 100,000 individuals over the age of 80 . In IsraHistorically, motor syndrome was the main recognized clinical manifestation of PD and the prevalence of severe disability and mortality within 5 and 10 years of onset was 25 and 65%, respectively . Yet, sivia pumps, are needed to improve response fluctuations.This stage is characterized by moderate to severe motor deficits (Hoehn & Yahr stage III-V during off periods), generally accompanied by troublesome motor and non-motor symptoms: fluctuations, dyskinesias, frequent off-periods, postural instability leading to frequent falls with increased risk of fractures, sleep disturbances, hallucinations, and cognitive decline, among others. However, with close support, patients are not entirely dependent at this stage and are still capable of independent activity, and may be effectively managed by timely adjustment of the treatment. As PD patients progress to the advanced stage, they typically require intensive and individualized multidisciplinary pharmacological and non-pharmacological care to manage disease and treatment-related complications . FurtherDespite the wealth of knowledge of PD pathology and its natural course, there is a lack of global consensus regarding the precise definition of APD. This is largely due to its heterogenic origins, the vast variety of subphenotypes, variable trajectories and prognostics, as well as the absence of robust biomarkers for disease progression. In turn, it has challenged development of standardized care guidelines, and has brought to a lag in appropriate alignment of diagnostic instruments and grading scales for classification of disease severity and evaluation of treatment and management strategies. Furthermore, it has stymied early APD identification, and tailoring of interventional programs and appropriate allocation of funds. The most popular assessment tools use PD duration as an anchor and primarily focus on cardinal overt motor features. They have been proven to lack universality due to different phenotypes and rates of disease progression and generally fail to recognize the true weight of non-motor features on patient performance and quality of life . Recent In line with the global efforts to moderate PD impact on quality of life, the authors, representing a panel of Israeli movement disorders specialists, propose to define APD in the International Classification of Disease 11th revision (ICD-11) as a unique health entity that demands adjusted healthcare provider attitudes and relevant social services. Modification of the ICD-11 PD coding should include severity- and fluctuation-based subcodes that accurately capture APD and distinguish it from early-stage PD. While very few diseases have been assigned severity-based subcodes in ICD-10 , the growing evidence of the distinct clinical manifestations and medical needs of this patient subpopulation, justifies reconsideration of its coding status.In addition, we call for optimization of the Delphi criteria by extending them to include a more extensive list of non-motor features, such as autonomic disturbances , pain, daytime somnolence, and apathy. Furthermore, in the opinion of the Israeli panel, the Delphi criteria for APD from motor fluctuations, regardless of their duration and severity, should be the main eligibility criteria for advanced therapy. Evaluation of PD patients should be based on a structured questionnaire applied as a preliminary tool geared to be implemented by community neurologists or case managers . Patients with suspected APD should undergo multidisciplinary evaluation, ideally in specialized APD centers, to define the extent of disability, outline an individualized treatment program, and weigh the need for rehabilitation and social support services. Routine evaluations should be adequately sensitive to allow for timely diagnosis of palliative-stage PD, which should be addressed by end-of-life palliative/hospice referral .Management protocols should implement personalized patient-centered and holistic approaches to target the heterogenic manifestations and course of PD. These should include tools for timely diagnosis and treatment of osteoporosis. Furthermore, patients should be informed of opportunities to participate in relevant clinical trials. In addition to the clinical benefits of integrated and coordinated care , such prThe panel also suggests standardization of DAT eligibility and prioritization of its use to early-stage APD patients, while minimizing its use in palliative-stage patients. Furthermore, integration of telemedicine and nurse practitioners can tighten surveillance and improve treatment optimization efforts.These can be further supported by establishment of a network of community physicians, led by movement disorder specialists, to promote case-sharing, research dissemination and exchange of professional know-how.Expanded APD-geared health baskets clearly outline eligibility for reimbursement for a part/full time paid attendant, mobility allowance, and rehabilitation services. In parallel, attention should be paid to informal and non-specialized caregivers by providing them PD-specific education and support . PatientIn summary, the globally rising life expectancy has increased the prevalence of PD in general, and of APD, in particular. Appreciation of the heterogeneity of PD etiology and manifestations has underscored the need for updated PD coding. Precise and standardized definition and evaluation of APD will promote earlier APD identification and timely referral to adequate therapies and specialists. Moreover, it will enhance holistic management, which is expected to markedly improve APD patient quality of life. Future works should focus on validating the proposed extension of the Delphi APD criteria, and on tailoring treatment to APD phenotypes.TG: draft preparation and literature search. All authors conceptualized, critically revised, and approved the submitted version."}
+{"text": "Advances in Theranostics: Novel Nanotools for the Treatment and Diagnosis of Tumors\u201d presents a small series of articles reporting the most exciting research, novel application studies and scientific progress in the field of nanostructures and functional materials used in the field of oncological theranostics. The limitation in the effectiveness of traditional approaches in treating cancer are largely demonstrated in this Topic Research Topic, providing examples of stimuli-sensitive and technologically advanced novel nanoplatforms that, in a multidisciplinary and collaborative approach, involve the contribution of different disciplines ranging from material sciences, biology, immunology, medicine as well as diagnosis. Nanotechnology platforms that can combine both therapy and diagnosis are especially interesting, as this approach allows combining targeted therapy and monitoring of efficacy with minimal invasiveness and systemic toxicity. Multifunctional nanomedicines combining responsiveness to tumor microenvironment, targeting, therapy, sensitivity, and early-stage detection are highly advantageous and are most likely the future clinical direction of cancer management. The high number of views obtained by the articles published in this Research Topic Collection shows a clear interest of the scientific community for nanomedicine and theranostics and motivated the edition of this Topic Research Topic. Our goals are to facilitate access to thematically related papers and draw attention to the current activity and trends in addressing remaining challenges, ultimately serving as a valuable resource to the biomedical and pharmaceutical science community and beyond. The Research Topic is comprised of four selected peer-reviewed manuscripts derived from the fields of (bio) materials science and engineering, pharmaceutics, and biology.The Research Topic entitled \u201cCong et al. opens this Topic Research Topic by overviewing the abnormal pathophysiological characteristics of the tumor microenvironment, including acidosis, overexpression of special enzymes, hypoxia, and high levels of ROS, GSH, and ATP. These characteristics are exploited in drug delivery systems (DDSs) design to trigger the spatial and temporal control of drugs and/or diagnostic agents in tumor tissues. The latest advances in the field of DDSs responsive to stimuli found in tumor microenvironment are highlighted in this review paper, emphasizing their ability to effectively realize tumor-site specific drug, decrease the injected dose and systemic toxicity. Finally, a critical analysis of the existing bottlenecks to the clinical translation of these technologies are also critically discussed and include, among others, DDS complexity, sub-optimal biocompatibility, patient biological heterogeneity, leading to varying response, size control and immune system reaction.The review paper by Xu et al., who proposed a nanoparticle-based platform for the effective presentation of sonosensitizers to hypoxic tumor tissues. In this work, a core-shell structured nanoparticle (IR780/PLGA@MnO2NPs) loaded with IR780 and manganese dioxide (MnO2) was developed as a nanocarrier to transport the sonosensitizer IR780 and the generated oxygen into the tumor tissue. The MnO2 shell layer of IR780/PLGA@MnO2NPs was designed to respond to tumor microenvironment, by releasing IR780 and generating reactive oxygen species in response to tumor acidity and excess of H2O2. As a result, the generated oxygen relieves tumor tissue hypoxia and kills tumor cells, while the generated Mn enhances magnetic resonance imaging (MRI) signal intensity by acting as a contrast agent for MRI. The developed multi-layer core-shell nanostructure was validated in vitro and in vivo on a breast cancer mice model, providing a promising strategy for cancer diagnosis and sonodynamic treatment, with potential future application in cancer theranostics.An example of stimuli-sensitive nanoDDS for tumor diagnosis and treatment if offered by Ranjbari et al. described nanostructure two-dimensional Mxene as potential materials in the diagnosis and treatment of breast cancer. Different synthetic methods for producing biocompatible Mxenes and their application to the detection and therapy of breast cancer are overviewed. The authors point out the high biocompatibility profile of. MXenes\u2019 and their surface modification flexibility, leading to multifunctional properties, such as preferential agglomeration at tumor sites for photothermal treatment by the non-covalent reactions on the MXene surface with PEG, CS, SP, and PVP materials. The synthetic MXenes could be potentially applied in the fields of, antimicrobial materials, attributes, drug delivery, engineering of tissue, and extensive near-infrared sorption.Wang et al., dealing with the assessment of the diagnostic value of 18F-NaF PET/CT in diagnosing bone metastases in patients with nasopharyngeal carcinoma (NPC) using, for the first time, visual and quantitative analyses. The study was carried out retrospectively, analyzing 164 patients with NPC who underwent 18F-NaF PET/CT between 2017 and 2021. They showed that visual analysis of 18F-NaF PET/CT findings is accompanied by high sensitivity and specificity for the diagnosis of bone metastases in NPC. Furthermore, the quantitative analysis of PET/CT (SUVmax), displaying the advantage of higher objectivity and reproducibility than visual qualitative analysis, was demonstrated a valuable tool for the differential diagnosis between bone metastases in NPC and benign bone lesions.Breast cancer is also tackled in the original research article by In conclusion, this Research Topic Collection represents a small cross-section of the research work performed around the topic of novel nanotools for the treatment and diagnosis of tumors, having the scope to promote ideas, show new technologies, present the state of the art in the field, and critically discuss current challenges still existing in this area and possibilities for overcoming these challenges. We are convinced that this article Research Topic will be significantly relevant to the scientific community and beyond to spotlight cutting edge studies and start initiatives and collaborations among scientists in this field.This Research Topic aims at collecting recent advances in theranostic nanoplatforms, with a special emphasis on originally designed systems. Nanoplatforms combining drug delivery, targeting, and tumor monitoring approaches could be of particular interest when designed to address the challenge to specifically reach tumors in specific body districts, or treat tumors of different stages."}
+{"text": "Background: Six diverse Demographic Development and Environmental Surveillance System (DDESS) sites were established in urban slum, urban resettlement, peri-urban, rural, and tribal areas located in Northern, North-East, Eastern, and Southern regions of India from June 2020 to March 2022. Understanding the community dynamics and engaging people in the community is critically important in the process of establishing DDESS. We ascertained the barriers, challenges, and facilitators during the establishment of multiple DDESS sites across India. Methods: This was a cross-sectional descriptive mixed-methods study. Results: Multiple barriers and challenges encountered were reported in the process of community engagement (CE), such as geographical inaccessibility, language barriers, adverse weather, non-responsiveness due to perceived lack of individual benefit or financial gain, fear of contracting COVID-19, COVID-19 vaccine hesitancy, etc. Facilitators in the CE process were pre-existing links with the community, constitution of community advisory boards, community need assessment, concomitant delivery of outreach health services, and skill-building facilities. Conclusion: Most community barriers in the development of DDESS sites in resource-limited settings can be overcome through a multipronged approach, including effective community engagement by focusing on demonstrating trust at the local level, enlisting community mobilization and support, utilizing pre-existing community linkages, initiating community diagnosis, and meeting perceived community health needs. Demographic Development and Environmental Surveillance Systems (DDESS) enable the development of novel, innovative, and real-world solutions for achieving healthier, prosperous, and sustainable communities in resource-limited settings ,2,3. In Globally, there are over thirty demographic surveillance sites across Asia, Africa, and America . For obtAccording to the Centre for Disease Control (CDC), community engagement (CE) is the process of working collaboratively with and through groups of people affiliated by geographic proximity, special interest, or similar situations to address issues affecting the well-being of those people . Local cThere is a paucity of evidence towards understanding the real-world strategies and solutions that enable effective CE in public health and developmental research . MoreoveStudy Design: This was a cross-sectional descriptive mixed-methods study. Baseline data were collected from the ongoing multi-site DDESS project in India.Study Setting: Six diverse DDESS sites across India established during the period from June 2020 to March 2022 were included .All these sites were pre-existing field practice areas of the concerned medical colleges and research organizations. At each site, data were collected on the type of settlement , demographic, and health characteristics from both DDESS surveys and non-DDESS secondary data sources, such as previous local surveys, census data, community and facility-based research studies conducted in the area, and medical and health records from the local government primary care facilities. Description of the study sites (DDESS): The six DDESS sites were slated to be developed by six respective institutions: MAMC, Gokulpuri, New Delhi; CHRD-SAS, Dakshinpuri, New Delhi; INCLEN, Mawphlang and Sohiong, Meghalaya; ICMR-RMRC, Bhubaneswar, Tigiria, Cuttack, Odisha; AMC, Vishakapatnam, Andra Pradesh; and PIMS, Marakanam-Villupuram district, Chitamur-Chengalpet district, Tamilnadu, and Muthialpet in U.T. Puducherry). The basic sociodemographic characteristics of the study population are reported in The Gokulpuri DDESS is an urban low-income neighbourhood in the North-East district of Delhi comprising an urban resettlement colony, urban slum, and a village. Of the total population, 91.6% are literate, 94.94% belong to the Hindu religion, and 52.28% belong to the scheduled caste. The settlement has very few health care facilities, while the nearest referral health facility is around 6\u20137 km away.The Dakshinpuri DDESS is an urban low-income neighbourhood located in the Southern district of Delhi. A total of 99.55% of the population is urban and 78.91% follow the Hindu religion, followed by the Muslim and Sikh religions. The settlement has 3 healthcare facilities for local residents.The Mawphlang DDESS spreads across the 364.48 Sq Km area in the Mawphlang and Sohiong administrative blocks of the East Khasi Hills district of Meghalaya state. The site is predominantly occupied by the Khasi tribal community (99.5%). In total, 80.7% of the population are Christians and the site has very high literacy rates (82.8%). There are 2 community health centres, 1 primary health centre and 9 sub-centres.The Tigiria DDESS is a predominantly rural area (89.2%). A total of 95.17% of people belong to the Hindu religion, followed by other minority communities. The majority belong to the upper caste (83.4%), followed by the schedule caste (13.2%) and the schedule tribe (3.4%). Cultivation is the main occupation. While the site has 2 community health centres, 4 primary health centres and 13 sub-centres, the referral health centre is around 15\u201320 km away.The Simhachalam DDESS is located in the western part of Visakhapatnam and is predominantly peri-urban. A total of 95.9% of the population belong to the Hindu religion. The scheduled caste (7.6%) and scheduled tribe (14.3%) constitute one fourth of the population. Occupations are mostly service or running small businesses. The site has the fair availability of 92 hospitals in the urban setting and 13 hospitals in the rural setting, respectively. The Marakanam, Chitamur, and Muthialpet DDESS is predominantly rural, with the average literacy rate being 65.2%. The major occupations are agriculture and fishing. The site has an availability of 48 hospitals in the rural setting, compared to only 2 hospitals in the urban facilities for the residents.Sample size and sampling strategy: A universal sample (census) of all the households located in the DDESS sites were included in this study through a standardized house-to-house survey process. Data collection (quantitative) was conducted following a systematic process followed for the establishment of comprehensive community-based surveillance sites . BroadlyData entry: All 6 DDESS sites used Android-based electronic questionnaires called \u2018SOMAARTH 1 & SOMAARTH 3\u2019. The enumerator asked the respondent questions in a face-to-face interview and the responses were recorded by the enumerator directly into their data collection tablet. Data were securely saved in the Amazon Web Service (AWS\u00a9) server. Data analysis: Data were downloaded from the server and cleaned using STATA Version 15 and IBM SPSS Statistics for Windows, Version 25.0. . Data related to key sociodemographic characteristics of the study populations were reported as frequency and percentages.Written transcripts were prepared for the interviews as part of this study. Thematic analysis was used for identification of recurrent themes, all of which had been identified a priori from a comprehensive review of the literature. Key findings from each of the sites were centrally analysed using qualitative synthesis techniques, such as textual narrative and framework synthesis for the identification of the key barriers, facilitators, and coping strategies in community engagement during the establishment of DDESS sites. Analytical conceptual framework: The CE activities undertaken by the study teams were classified within a conceptual framework comprising the previously validated five stages of the CE continuum ,18, whicThe locations of six DDESS sites included in this study are presented in (A)Limited or lack of understanding of locally spoken languages: India is the world\u2019s most linguistically diverse country. Absence of familiarity with the locally spoken language and dialect posed challenges for investigators and project staff, especially in remote and tribal regions with predominantly indigenous populations. For instance, Khasi, an Austroasiastic language, is predominantly spoken in the tribal areas of Mawphlang and Sohiong blocks of the North-Eastern state of Meghalaya, having just over 1 million speakers. This caused difficulty for site investigators unfamiliar with the local language to communicate with members of the local community that precluded effective CE and the data collection processes.Poor road connectivity and difficult terrain: Some DDESS sites were located in areas that were not connected with all-weather motorable roads and caused difficult access. The survey team had to travel considerable distances by foot to reach these remote villages. The interior areas located in forest and hilly terrain were difficult to reach, and more so during the rainy season.Inclement weather and extreme climatic conditions: While DDESS sites in Meghalaya were the wettest, the site of Odisha is near the riverine regions. Such sites are prone to flood and difficult to carry out field activities in during the rainy seasons. The temperature extremities (summer in southern DDESS sites and winter in the northern part) and heavy rainfall were also detrimental to conducting routine project activities.Expectation for financial benefits: Some community members had expectations of financial gain or compensation for participating in or facilitating the project and research activities in their sites. In the absence of provision for any direct financial benefit, such members were disinclined to participate or consent.Fear of wage loss: Some family members, especially the adults who were mainly involved in earning livelihoods for their family, could not afford to spend time with the team during their working hours.Migration: Some people migrate in search of jobs, even with their family. This causes a loss in follow-up of the registered population and a challenge to DDESS sustainability.Dispute over land ownership: Households with prevailing legal disputes about their land ownership were initially found to be resentful and reluctant to share any of their personal information as part of the study. In hilly areas, even the village councils are involved in disputes over the village boundaries, and some of them do not agree with the inter-village boundaries given in the government records.Pandemic and fear of COVID-19 infection: The COVID-19 pandemic created a lot of panic among the community, and the imposed restrictions created hindrance for initiating interactions with outsiders in the sites. The unavailability of hospital beds for COVID patients during the COVID peak resulted in non-cooperation of the community with the research team.Distrust for COVID-19 vaccination: Communities, particularly rural and tribal communities, were reluctant to accept COVID-19 vaccination. They were panic-stricken and agitated at the prospect of engaging with people working in the health sector or associated with hospitals. There was also resistance among communities against the implementation of non-pharmaceutical measures, such as social distancing and following COVID norms. Dissatisfaction with suboptimal functioning of primary care facilities during the pandemic, reduced staffing, and services as a result of the pandemic were a major issue faced by the surveillance team.Unpleasant past experiences: Some of the community members had unpleasant experience of supporting governmental or non-governmental activities in the past, resulting in non-cooperation. For instance, no personal benefits were received by the community members for previous participation in other surveillance activities. Some community members had unpleasant experiences of not receiving any financial or other benefits promised to them for their participation in prior community-based research activities conducted in their areas, which further compounded their unwillingness to participate in the present research project.Engagement of locally hired people in the enumeration team may bring undue demands and interference from the local community, such as mounting pressure to hire undeserving candidates, negotiations for the payment amount or rolling back the termination order, etc.Barriers encountered during community engagement (CE). The significance of CE exists both during the establishment of the DDESS and ensuing quality data collection from the sites. The research teams encountered many barriers and challenges in the process of ensuring adequate CE. While some common challenges were observed in multiple sites, some were site-specific:(B)Pre-existing community links with the research teams by virtue of being the field practice areas of the respective institutions; b. broadcasts of the activities conducted by the SOMAARTH DDESS among the public by the village council through the public announcement system; c. involvement and engagement of community-level frontline health workers ; and d. involvement of village volunteers were helpful in ensuring community engagement activities.Enablers to achieve CE: Many enabling factors were noticed that facilitated CE, which are described below.(C)Formation of a community advisory board (CAB) at each DDESS site: Each study site formed a CAB by identifying and recruiting significant stakeholders following a common CAB charter for better functioning of the DDESS site. Meetings among the members of the advisory committee were held to identify and address existing community-level issues to achieve trust and better community involvement and participation. The CAB helps in supporting advocacy, sensitization campaigns related to the project, and mitigation of any conflict, while ensuring that beliefs and cultural disparities among community members are respected. The CAB gives advice and recommendations to the research team but has no administrative or legal responsibilities. The research team informs the CAB before carrying out any new activities. The board provides guidance and assistance in planning and implementing the activities of the project by ensuring that the activities are conducted in an informed and transparent manner that is acceptable to the community.Identifying and involving community volunteers: Some of the DDESS sites identified and involved local community volunteers, such as Panchayati Raj Institution (PRI) members, schoolteachers, ASHA, Anganwadi workers, etc. These community volunteers were engaged during the community mobilization process. They provided enormous support during community consultation, village boundary mapping, and for health awareness initiatives towards strengthening surveillance activity. In order to avoid the interference of the community in the recruitment and research processes, a detailed SOP for the village volunteers\u2019 recruitment was developed and followed by the sites. The formal recruitment process for the engagement of village volunteers included vacancy announcements in all the site villages/localities, organization of written examinations and tablet tests at clusters for ensuring the participation of volunteers from the villages which are far from the office location, followed by face-to-face interviews with the successful candidates. A merit list was prepared and publicly displayed for the transparency of the process and recruitment of the village volunteers was carried out on the basis of the merit list.Community consultations involving key stakeholders: Prior to data collection, the population was consulted and appraised of the project objectives. During the meetings, key stakeholders, such as local health care providers, schoolteachers, and community leaders were also involved. Many stakeholders played a role as a link between the community and researchers. This improved the trust among the people to participate and support the project\u2019s activities.Undertaking other health-related activities: Apart from the project-related activities, the DDESS sites also organized some other health initiatives, such as health camps, COVID-19 Serosurveys, screening for non-communicable diseases (NCDs), and oral health problems. Community awareness and sensitization programs based on prevailing key health issues, such as the COVID-19 pandemic situation, prenatal/postnatal care, multidrug-resistant tuberculosis (MDR-TB), and vector-borne diseases, such as dengue, chikungunya, etc., were supported by the community stakeholders.The participatory mapping and data collection approach helped in gathering updated relevant information in the manner in which the community perceived them. In villages where boundaries were not available in the government census maps, research teams were able to gather information through the community consultation process.Strategies adopted for better community engagement: In view of the existing barriers, challenges and enablers, various site-specific strategies were undertaken in order to achieve better community engagement .FormatiThe barriers and enablers encountered for CE, and the strategies adopted to achieve better CE, are depicted as a conceptual framework .A comparison od the barriers and enablers encountered, and strategies adopted for better community engagement, across the six DDESS sites, is presented in The establishment of DDESS is important to study a population cohort through collecting data longitudinally and monitoring their health and wellbeing. This helps to understanding the community dynamics, the existing challenges, and barriers better to developing appropriate disease-control and prevention strategies. These sites enable epidemiological surveillance through prospective data collection on population dynamics and health measures in a specific geographical area, generating data on a country\u2019s vital statistics related to disease burden and demographic information that instructs and advances public health policy formation .There is growing global recognition of the role of CE in facilitating and accentuating research activities planned and conducted within communities. However, there is a lack of global consensus guidelines on assessing the quality of CE processes . FurtherIn this study, all the participating organizations had been functioning in their respective sites for >10 years and were engaged in various public health services, and this activity helped the research team to acquire knowledge and understand the beliefs and socio-cultural practices of the local population. Operational challenges for the sustained functioning of the DDESS sites are evident from the requirement of frequent updating of population data prospectively often resulting in research fatigue amongst respondents . InaccesSome DDESS sites are being developed amongst vulnerable communities, such as tribals, rural, and urban poor, necessitating the need for community consultation to identify community concerns which may influence community participation. In this regard, Community Advisory Boards (CABs) were frequently used to support CE by helping research teams honour the community values, and frequently also guide decision-making when deliberating on the choice of community-based research and supportive activities ,28,29. AFurthermore, the suboptimal functioning of existing health surveillance systems in the more geographically inaccessible remote, rural, and tribal locations renders the monitoring and detecting of the vital events and associated data management difficult ,32. All Effective community mobilization and collaboration with motivated community partners are also crucial towards identifying the prevalent social determinants of health that impact population health ,6. In thThe establishment of DDESS sites intends to bridge the health- and demography-related data gaps necessary for informing and strengthening public health policies in developing countries. The specific challenges encountered in establishing DDESS sites in different areas, and the approaches and strategies implemented to overcome these, may be instructive in developing comparable platforms under similar conditions. Most community barriers exist in the development of DDESS sites in resource-limited settings, but most can be overcome through effective community engagement by focusing on enlisting local community trust, mobilization and support, utilizing pre-existing community linkages, community diagnosis, and meeting health needs. The study underscores the need for rigorous community mobilisation and regular stakeholder participation, for a better understanding of community dynamics, and aiding community engagement."}
+{"text": "Screening and brief intervention (SBI) is a low-intensity, time-limited psychosocial treatment for substance misuse. The therapeutic principle is grounded on the social cognitive theory encompassing different combinations of personalized feedback, styles of motivational interviewing (MI), decisional balance, advice, identifying and managing high-risk situations, and providing a personalized menu of options to reduce or stop substance use . SBI couAlthough there are several screening instruments to detect and monitor substance misuse, the validity of those screening tools across countries, age groups, and study settings are not yet consistent . For insThe effectiveness of alcohol BI among adults in primary and general healthcare is consistent and robust , 12. HowThe implementation gap of BI is possibly much wider than the evidence gap, especially for alcohol misuse. The practice of alcohol BI in clinical settings, despite the support from policymakers, is sub-optimal. Scandinavian countries, the UK, and Italy, which have integrated alcohol BI into their healthcare system, show only a minority population are screened (10\u201337%) for alcohol use by their primary care physicians, and a further minority receive advice to cut down . The posLevy et al. examined the uptake and preliminary outcomes of a teleconsultation model for pediatric primary care. The teleconsultation program from Massachusetts, US, provides an implementation model for SBI in children and adolescents in a limited resource context. Another electronic health record system-based study from the USA tested the changes in unhealthy alcohol use pre- and post-pandemic. The authors identified vulnerable subgroups and suggested using telehealth to reach out to these groups. Al Mahmud et al. explored the format and themes of another digital self-help option for alcohol cessation, the YouTube videos. In another study, the authors explored the need for brief counseling and intervention based on a theory-driven approach in the context of sexualized drug use, also known as Chemsex. Future studies on BI in special populations and contexts might use a theory-driven, tailor-made approach . Finally, a South African study proposes screening for suicidal behavior in persons with heroin misuse- increasing the ambit of screening in SBI.This Research Topic revisits the evidence of alcohol BI in the criminal justice system and the integration of alcohol intervention into general healthcare settings. The latter study focuses exclusively on sub-Saharan Africa. These two studies aim to review and update the evidence of alcohol BI in non-primary care and low-resource settings. This Research Topic highlights the evidence and the implementation gap of SBI in substance misuse. This unpacking of the research gaps may motivate further research on SBI. It may provide directions to funders and policymakers.AG, SM, and DN-B jointly conceived the idea of the Research Topic and the editorial. AG wrote the first draft. SM and DN-B reviewed and edited the draft. All authors reviewed the final draft and approved it.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest.All claims expressed in this article are solely those of the authors and do not necessarily represent those of their affiliated organizations, or those of the publisher, the editors and the reviewers. Any product that may be evaluated in this article, or claim that may be made by its manufacturer, is not guaranteed or endorsed by the publisher."}
+{"text": "A 46-year-old female patient came to the Dermatology outpatient clinic complaining of asymptomatic breast lesions for ten years. She reported a weight gain of approximately 50\u202fkg during this period and reported being an active smoker with a tobacco load of 42 pack/year. Dermatological examination showed erythematous to violaceous reticulated lesions on both breasts. Some areas showed shallow ulcerations .Figure 1Histopathology revealed a rectified epidermis and proliferation of small vessels, more intense in the upper dermis, but extending to the middle dermis without cell atypia . The imma)Kaposi's Sarcomab)Low-grade angiosarcomac)Diffuse dermal angiomatosis of the breastd)CalciphylaxisBased on the clinical-pathological correlation, a diagnosis of diffuse dermal angiomatosis of the breast was made. Laboratory tests including ANF, lupus anticoagulant, anticardiolipin, anti-beta-2 glycoprotein, C and S proteins were normal. The CT angiography excluded venous or arterial thrombosis. The patient lost 20\u202fkg in one year and there was complete regression without any medical or surgical treatment . DespiteDiffuse dermal angiomatosis of the breast (DDAB) is a poorly described entity that affects exclusively middle-aged, obese women with macromastia and who are smokers.The pathogenesis likely involves tissue ischemia leading to an increase in endothelial growth factors and neoangiogenesis.The management of DDAB requires treatment of the underlying cause of tissue ischemia. The investigation to exclude the causes of ischemia is mandatory. Advice on weight loss, smoking cessation, and control of cardiovascular risk factors such as hypertension or hyperlipidemia are essential. Drug therapy includes the use of isotretinoin, anticoagulants, acetylsalicylic acid, pentoxifylline, and oral corticosteroids, but responses are variable.None declared.Bruno de Castro e Souza: Drafting and editing of the manuscript; critical review of the literature.Esio Pessoa Caracas de Souza: Collection, analysis, and interpretation of data; drafting and editing of the manuscript; critical review of the literature.Neusa Yuriko Sakai Valente: Design and planning of the study; drafting and editing of the manuscript; critical review of the literature; intellectual participation in the propaedeutic and/or therapeutic conduct of the studied case.Jos\u00e9 Antonio Sanches: Design and planning of the study; drafting and editing of manuscript; critical review of the literature; intellectual participation in the propaedeutic and/or therapeutic conduct of the studied case.None declared."}
+{"text": "The coronavirus pandemic (COVID-19) has affected the functioning and capacity of healthcare systems worldwide. COVID-19 has also disproportionately affected older adults, including those living with dementia. In the context of COVID-19, decision-making surrounding place of care and place of death in this population involves significant new challenges.To explore key factors that influence place of care and place of death decisions in older adults. A secondary aim was to investigate key factors that influence the process and outcome of these decisions in older adults. To apply findings from current evidence to the context of COVID-19.Rapid review of reviews, undertaken using WHO guidance for rapid reviews. Ten papers were included for full data extraction. These papers were published between 2005-2020. Data extracted was synthesised using narrative synthesis, with thematic analysis and tabulation.Papers included discussed actual place of death, as well as preferred. Results were divided into papers that explored the process of decision-making, and those that explored decision-making outcomes. Factors such as caregiver capacity, the availability of multidisciplinary teams, cultural appropriateness of care packages and advanced care planning were found to be key.The process and outcomes of decision-making for older people are affected by many factors \u2013 all of which have the potential to influence both patients and caregivers experience of illness and dying. Within the context of COVID-19, such decisions may have to be made rapidly and be reflexive to changing needs of systems and of families and patients."}
+{"text": "Cancer, the second leading cause of death worldwide, continues to represent an impressive challenge for researchers and clinicians. Indeed, radiotherapy and chemotherapy are still the main therapeutic options, associated, however, with undesirable toxicity. Furthermore, chemotherapy is frequently accompanied by the appearance of the drug resistance, which, in turn, further limits the overall success of the therapy. In the last decades, much work has been devoted to the development and/or implementation of strategies of cellular and molecular targeted therapies. For instance, Tamoxifen, which specifically targets the estrogen receptor in breast cancer, is the first drug approved by the Food and Drug administration (FDA) in 1977 as cellular targeted therapy for the treatment of metastatic breast-cancer-affected patients . On the In the \u201cTargeted Therapies for Cancer\u201d Special Issue, six original articles, one perspective article and three reviews intend to provide an overview on the state-of-the-art of targeted therapies for cancer, covering some of the aspects of this broad field. This Editorial briefly summarizes findings and highlights derived from the published manuscripts.Jebali and colleagues focused The involvement of Lamin A/C (LMNA gene) in the tumorigenesis and progression of glioblastoma multiforme (GBM) was instead investigated by Gatti and colleagues . It was In addition, the study conducted by Yu and colleagues is focusThe implication of Nuclear factor erythroid-2 related factor-2 (Nrf2) in breast cancer (BC) responses to chemotherapy was instead investigated by Bovilla and colleagues . The expEliseev and colleagues focused Rango and colleagues investigFresnais and colleagues presenteA new and interesting approach of cancer therapy consisting in the targeted osmotic lysis (TOL) was presented by the review article of Gould and Paul . This apAdvances and limitations in the development of Antibody-Drug Conjugates (ADCs) are discussed in the review article from Mckertish and Kayser . ADCs arThe review article by Wolf focuses,"}
+{"text": "Traumatic Brain Injury (TBI) represents a major medical, healthcare, and socioeconomic problem worldwide and one of the most important causes of disability and mortality. Over 700 participants from various countries attended the much-expected educational event, which aimed to set the stage for lively debates on a plethora of aspects under the broad domain of neurosciences. Thrilling lectures and presentations took place over two days and the event included 6 sessions and 4 interactive panels held by 26 speakers.The 20The event brought together a lively audience with diverse backgrounds, such as neurology, psychology, neurosurgery, neurorehabilitation, psychiatry, psychotherapy, and public health. The Congress was opened by the steering committee, which included Klaus von Wild (Germany), Dafin F. Muresanu (Romania), Johannes Vester (Germany), Nicole von Steinb\u00fcchel (Germany), and Volker H\u00f6mberg (Germany).Session one introduced the audience to the topic of TBI research and was structured into two presentations. The former, by Johannes Vester (Germany), the AMN president and Associate Professor at the Department of Neuroscience from Iuliu Hatieganu University of Medicine and Pharmacy in Cluj-Napoca (Romania), was centered around the multidimensional approaches in TBI research and presented insights from the Cerebrolysin Asian Pacific Trial in Acute Brain Injury and Neurorecovery (CAPTAIN) I and II trials. Moreover, Prof. Vester discussed the limitations of the dichotomization of results, of binary thinking in TBI research, and the importance of full-scale analysis.e.g. Intelligent Mechanical Training Devices, Gaming Technology for motor and cognitive training, Brain-Computer Interfaces, Neuromodulation) in contrast to low-tech options , comparing their limitations and benefits. Furthermore, Prof. H\u00f6mberg offered insight into the role of digital communication strategies in allowing the dissemination of knowledge and skills to larger populations.The second presentation, by Volker H\u00f6mberg (Germany), Chairman of AMN Scientific Program Committee and President-Elect of the World Federation for Neurorehabilitation (WFNR), approached the vast and complex subject of neurorehabilitation, discussing future approaches. Neurorehabilitation of TBI represents a vast topic, ranging from early rehabilitation of patients to support and reintegration into the social and professional environment. Therefore, discussing solutions for neurorehabilitation is of utmost importance, especially considering the gap experienced in low- and middle-income countries (LMIC) with regard to meeting the needs of the patients, as well as the disruption caused by the COVID-19 pandemic. Prof. H\u00f6mberg discussed the role of high-tech options , ended the session with a presentation entitled \u201cNew developments in TBI clinical research from a C-RETURN study\u201d highlighting the importance of continuous research in the domain of neurotrauma. Prof. Muresanu suggested that the functional effects of lesions on brain networks require a change in our approach to neurorehabilitation, shifting the emphasis of treatment and restorative trials towards modulating the activity levels in preexisting networks and showcased the role of multimodal drugs in both neuroprotection and neurorecovery. Moreover, Prof. Muresanu discussed the importance of the CAPTAIN trials in TBI research as the first series of trials with multidimensional approaches based on full outcome scales, and the vital role of the C-RETURN study.Collaborative European NeuroTrauma Effectiveness Research in TBI (CENTER-TBI). The inspiring CENTER-TBI is a longitudinal prospective study describing Intensive Care Unit (ICU) admission policies, management, and outcome for TBI patients. Prof. Maas showcased the importance of care in the initial phase at the emergency scene and the post-acute care phase. The necessity for the CENTER-TBI study was two-fold, first, the need for improved characterization and classification, and secondly, the issue of the heterogeneity of TBI as a disease, which motivated the search for best practices. Moreover, the importance of guidelines was discussed, as well as the shift towards multimodal approaches in treatment, the disparities in care, and the risk of incomplete recovery following a mild TBI. Lastly, the presentation ended with a statement on the importance of the CENTER-TBI study.The second session, having Prof. Johannes Vester (Germany) and Prof. Andrew Maas (Belgium) as chairpersons, further discussed the role of research in TBI. The session began with a presentation by Andrew Maas (Belgium), Emeritus Professor of Neurosurgery at the Antwerp University Hospital and University of Antwerp (Belgium), on the continuity of care in the trauma chain, presenting the experience of Furthermore, the session was followed by an insight into the CAPTAIN trial from Christian Matula (Austria), Professor and Vice-Chairman at the Department of Neurosurgery from Medical University of Vienna (Austria). In the past years, a few studies significantly impacted the management and outcomes of TBI. The CAPTAIN trial reveals impactful insight into the effect of the pharmacological agent Cerebrolysin. After discussing the neuroprotective and neurorecovery mechanisms of the brain following an acute lesion, he highlighted the importance of neurotrophic factors in the process of protection and recovery. Moreover, Prof. Matula discussed the objectives of the CAPTAIN trial while showcasing the problems of reductionist approaches, and the importance of multidimensional analysis in providing a new direction for clinical and statistical thinking. The results of the trials could be a door opener for future guidelines. Lastly, the grim realities of post-TBI depression encountered in nearly half of all TBI patients were discussed, highlighting the need for proper approaches. As proof of the necessity of multimodal approaches, he ended the presentation with a glimpse into the exciting Neurotrauma Treatment Simulation Center from Vienna, a training program focusing on the patient pathway to recovery.The final presentation offered an immersive incursion into the tools and instruments necessary for developing and providing the best practices in neurotrauma care by Mark Bayley (Canada), Program Medical Director and Psychiatrist-in-Chief at UHN-Toronto Rehabilitation Institute (Canada), underlining the constant need to improve existing therapies and find new treatments. Prof. Bayley aided the participants in discovering evidence-based resources to support TBI care and rehabilitation, including reviews and clinical practice guidelines, navigating web-based resources developed in Canada, providing demonstrative cases, and, lastly, using the TRICORDRR (Toronto Rehabilitation Institute Concussion Outcome Risk Determination & Rehab Recommendations) tool for the identification of patients most likely to require long-term special care for conclussions.rd session, having Prof. Nicole von Steinb\u00fcchel (Germany) and dr. Juan Carlos Arango-Lasprilla (Spain) as chairpersons. The session centered around neuropsychological aspects of TBI as well as TBI rehabilitation.The first day of the online AMN Congress of 2022 was completed by the 3Firstly, Nicole von Steinb\u00fcchel (Germany), Director of the Institute of Medical Psychology and Medical Sociology of the University Medical Center at Georg-August-University of Goettingen (Germany), outlined the domains and new trends in neuropsychological rehabilitation. The presentation started with an incursion into the past, presenting a reality that remains in place to this day, respectively that only a minority of patients suffering a stroke or traumatic brain injury receive adequate rehabilitation aid. This reality supports the need to enhance and personalize the post-TBI treatment and rehabilitation, especially regarding cognitive function, but also in treating psychiatric, psychological, and daily life problems arising after neurotrauma. With physical treatment receiving more attention in TBI, it is essential to consider the need for proper neurorehabilitation. The sequelae of TBI can be complex and could hamper the reintegration of patients into society, as well as their quality of life. With depression, anxiety, and Post-Traumatic Stress Disorder (PTSD) presented in a significant number of patients early on after a TBI and persisting up to one year, the need for systematic longitudinal evaluation and therapy is apparent. Prof. von Steinb\u00fcchel described how neurological rehabilitation aims to improve functions through restitution, substitution, activation, or integration, with each of the above-mentioned requiring specific evaluation and therapeutic strategies in the context of a multidimensional perspective. Recent years have brought the development of new therapeutic technologies, the improvement of neuroimaging techniques, as well as the development and implementation of international multicenter studies to address the gaps in information on neuroimaging and analytic algorithms, the influence of biomarkers on outcomes, the multidimensional outcome assessment, thus paving an encouraging road towards comprehensive neurotrauma care and rehabilitation.Secondly, Marina Zeldovich (Germany), Dr. rer. nat. at the Institute of Medical Psychology and Medical Sociology in G\u00f6ttingen (Germany), discussed the results of the CENTER-TBI study on patient-reported and neuropsychological outcomes after TBI. Patients after a TBI often report anxiety, depression, PTSD, post-concussion symptoms, and a decreased quality of life. In addition to clinical diagnosis tools, the patient-reported outcomes offer a more comprehensive image of the subject. To assess modifications in cognitive functions, information on performance-based outcomes provides relevant insight into patient status after a TBI. Dr. Zeldovich presented the findings of the CENTER-TBI studies, highlighting the need for multimodal outcome assessment, the inclusion of health-related quality of life evaluations, and evaluation of cognitive performance.The presentation was followed by a glimpse into the complexity of rehabilitation after mild traumatic brain injury, by Nada Andelic (Norway), Head of Research and Development at the Department of Physical Medicine and Rehabilitation from University Hospital in Olso (Norway), describing evidence-based recommendations for the treatment of physical, cognitive, and emotional symptoms following a mild TBI. Prof. Andelic familiarized the audience with strategies for treating physical, cognitive, and emotional consequences post mild TBI as well as facilitating the return to pre-morbid functioning. Mild TBI is characterized by the level of consciousness at the time of the injury or half-hour post-injury, along with the presence of other neurological symptoms. Rehabilitation aims to optimize function and reduce disability in patients, as stated by the World Health Organization (WHO). Prof. Andelic pinpointed the effectiveness of rehabilitation efforts in the acute phase, highlighted the importance of comprehensive assessment, and supported the use of biopsychosocial conceptualization in the rehabilitation of persistent symptoms encountered after mild TBI. The importance of contextual factors stems from their interaction and the possibility to negatively or positively impact the outcome and brings forward the need for patient-centered rehabilitation models and evidence-based treatments. Further aspects on neuropsychological rehabilitation, focusing on memory and attention after traumatic brain injury and new technologies were also discussed by Juan Carlos Arango-Lasprilla (Spain), Research Professor at BioCruces Vizcaya Health Research Institute in Bilbao (Spain).The last presentation of the session approached the topic of neurorehabilitation of psychiatric sequelae after TBI and was conducted by Katrin Rauen (Switzerland), Consultant in Neurology, Psychiatry & Psychotherapy at the Department of Geriatric Psychiatry from University Hospital of Psychiatry Zurich (Switzerland). Nowadays, traumatic brain injury scientifically becomes more important, however, the society is still unaware of its significant medical and healthcare implications and neuropsychiatric repercussions for the patients. Therefore, neuropsychiatric complications are one of the most important factors to consider, as they represent a constant challenge for all medical specialties and can significantly impact the lives of patients and their families. Most TBI patients are seen by GPs rather than TBI specialists, underlining the neglected relevance of the disease in the field of Neuropsychiary. Some of the most important aspects to consider are depression, anxiety, fatigue, and insomnia, as well as PTSD and the increased risk of suicide. It is of utmost importance to detect patients with neuropsychiatric sequelae early on and consider the importance of quality-of-life assessment after neurotrauma. The Quality of Life after Brain Injury (QOLIBRI) instrument comes as a solution to this problem. Finally, Dr. Rauen pinpointed strategies for cognitive rehabilitation and the importance of psychiatric diagnosis and rehabilitation in TBI guidelines.\u2013 how to minimize the risks of failure?\u201d, where a respected set of panelists, including Michael Chopp (USA), Karin Diserens (Switzerland), Andrew Maas (Belgium), and Johannes Vester (Germany) had a lively discussion on fitting approaches for the challenges of TBI research. TBI research can be difficult as there is tremendous variability when considering the best approaches. A comprehensive approach should consider the best models, the outcomes and mechanisms, and have a thorough understanding of the selected population. A multidimensional approach from research teams members of varying specialties could offer a more complex vision of the problems and lead to innovative solutions.The AMN Congress introduced the first Panel, \u201cResearch in TBI is full of challenges \u2013 what should be done to offer effective treatment solutions?\u201d, having Nada Andelic (Norway), Juan Carlos Arango-Lasprilla (Spain), Peter Lackner (Austria), Katrin Rauen (Switzerland), Nicole von Steinb\u00fcchel (Germany) and Marina Zeldovich (Germany) as panelists, highlighted approaches to treatment for the cognitive problems resulting from neurotrauma. Cognitive problems are often developed following a TBI and can affect attention, learning, memory, concentration, speech, problem-solving, and planning. As attention is the basis for higher cognitive skills , impairment in attention can lead to a wide array of manifestations, from understanding information, following directions, reacting, managing tasks, learning and remembering, making informed decisions, or understanding social boundaries.The impact of the cognitive impairments can reflect significantly on the personal and professional lives of those who have experienced TBI due to difficulty in carrying out executive tasks, distractibility, and difficulty in conversations. The issue of post-TBI cognition is complex and multidimensional, having a substantial impact on the patient and their social circle . For this, early identification of the individual at risk and the development of effective treatment solutions, as well as having a follow-up of the patient is of utmost importance.The impact of the cognitive impairments can reflect significantly on the personal and professional lives of those who have experienced TBI due to difficulty in carrying out executive tasks, distractibility, and difficulty in conversations.The second Panel, \u201cThe incidence of post-TBI cognitive problems is known etc.). For this, early identification of the individual at risk and the development of effective treatment solutions, as well as having a follow-up of the patient is of utmost importance.The issue of post-TBI cognition is complex and multidimensional, having a substantial impact on the patient and their social circle (family, employers, healthcare providers,"}
+{"text": "International Journal of Molecular Sciences, entitled \u201cNon-Covalent Interactions in Coordination and Organometallic Chemistry\u201d, is to cover the most recent progress in the rapidly growing field of non-covalent interactions in coordination and organometallic chemistry. Both experimental and theoretical studies, fundamental and applied research and any types of manuscripts are welcome for consideration.Non-covalent interactions are one of the key topics in coordination and organometallic chemistry. Examples of such weak interactions are hydrogen, halogen, and chalcogen bonds, stacking interactions, metallophilic contacts, etc. Non-covalent interactions play an important role in materials science, catalysis, and medicinal chemistry. The aim of this Special Issue of Non-covalent interactions are one of the key topics in coordination and organometallic chemistry. Examples of such weak interactions are hydrogen, halogen, and chalcogen bonds, stacking interactions, metallophilic contacts, etc. Non-covalent interactions control the structure of solids , as well as the properties of supramolecular systems in liquid and gas phases, in addition, the elementary stages of chemical reactions are due to such weak inter- and intramolecular contacts. In the context of bio(organic/inorganic)chemistry, non-covalent interactions are necessary for the formation and folding of the three-dimensional structure of proteins and nucleic acids as well as their metal complexes and ligand-protein binding. These inter- and intramolecular interactions have a significant effect on the properties of polymers, gels and membranes, on the dissolving abilities of liquids and their boiling points. Non-covalent interactions play an important role in materials science, catalysis, and medicinal chemistry. Information about inter- and intramolecular interactions can be obtained experimentally, for example, based on X-ray diffraction analysis data, from phonon spectra and elastic characteristics of crystals, using thermogravimetric analysis and measurements of sublimation energies, from spectral characteristics . At the same time, these experimental methods provide only indirect information, largely mediated by the experimental conditions, and often do not allow one to establish the nature and the energy of non-covalent interactions, what can be the goal and task for computer modeling and computational chemistry. In particular, the most promising theoretical methods in this context are the topological analysis of the electron density distribution within the formalism of Bader\u2019s theory (QTAIM) using additional auxiliary methods: visualization of van der Waals potential, Interaction Region Indicator (IRI) analysis, Independent Gradient Model (IGM) analysis, Density Overlap Regions Indicator (DORI) analysis, localized orbital locator (LOL) analysis, electron localization function (ELF) analysis, reduced density gradient (RDG) analysis, etc.); visualization and mapping of non-covalent interactions analysis) and the study of the degree of influence of crystal packing on the structure of isolated molecular associates stabilized by non-covalent contacts using Hirshfeld surface analysis; analysis of orbitals and charges, in particular, within the formalism of Weinhold\u2019s theory (NBO); study of energy and charge decomposition within the formalism of EDA and CDA theories, respectively. Thus, the most adequate, comprehensive, and promising approach to the study of non-covalent interactions in chemical compounds and their supramolecular associates seems to be a combination of experimental observations and computer simulation results using the latest advances in quantum and computational chemistry. Finally, processing of large amounts of data , machine learning and artificial intelligence is very promising goal for data scientists.International Journal of Molecular Sciences, entitled \u201cNon-Covalent Interactions in Coordination and Organometallic Chemistry\u201d, is to cover the most recent progress in the rapidly growing field of non-covalent interactions in coordination and organometallic chemistry. Both experimental and theoretical studies, fundamental and applied research and any types of manuscripts are welcome for consideration.The aim of this Special Issue of -experimental studies of non-covalent interactions;-theoretical modeling of supramolecular systems;-1D, 2D, 3D coordination polymers;-weak contacts in bio(organic/inorganic)chemistry;-non-covalent interactions in material science;-application of machine learning and artificial intelligence in studies of non-covalent interactions.This Special Issue will address the following topics:We welcome researchers to contribute their works to our Special Issue. We hope that the materials of this Special Issue will prove valuable and useful to a wide range of readers and researchers and will serve as a starting point for new fruitful work in the field of non-covalent interactions in coordination and organometallic chemistry. All types of manuscripts are welcome for consideration."}
+{"text": "The study reviewed the progress and outcomes of rolling out IDSR in South Sudan.this descriptive cross-sectional study used epidemiological data for 2019, 2020, and other program data to assess indicators for the five surveillance components including surveillance priorities, core and support functions, and surveillance system structure and quality.South Sudan expanded the priority disease scope from 26 to 59 to align with national and regional epidemiological trends and the International Health Regulations (IHR) 2005. Completing the countrywide rollout of electronic Early Warning Alert and Response (EWARS) reporting has improved both the timeliness and completeness of weekly reporting to 78% and 90%, respectively, by week 39 of 2020 in comparison to a baseline of 54% on both timeliness and completeness of reporting in 2019. The National Public Health Laboratory confirmatory testing capacities have been expanded to include cholera, measles, HIV, tuberculosis (TB), influenza, Ebola, yellow fever, and Severe Acute Respiratory Syndrome 2 (SARS-COV-2). Rapid response teams have been established to respond to epidemics and pandemics.since 2006, South Sudan has registered progress towards using indicator and event-based surveillance and continues to strengthen IHR (2005) capacities. Following the adoption of third edition IDSR guidelines, the current emphasis entails maintaining earlier gains and strengthening community and event-based surveillance, formalizing cross-sectoral one-health engagement, optimal EWARS and District Health Information Systems (DHIS2) use, and strengthening cross-border surveillance. It is also critical that optimal government, and donors\u2019 resources are dedicated to supporting health system strengthening and disease surveillance. Public health security is essential to minimizing the impact of acute public health events and is critical for countries\u2019 social and economic stability and transformation . Health Numerous years of civil strife in South Sudan and inadequate public health and healthcare investments have contributed to the increased risk of outbreaks and insufficient capacities to detect and respond to public health threats. Within this context, in 1998, South Sudan experienced a relapsing fever outbreak that is estimated to have resulted in more than 400,000 cases, including 2,000 deaths CFR 5 0.5%) [ 0.5% [5]Since the adoption of IDSR by the WHO Africa (WHO-AFRO) Region in 1998, the strategy has been implemented successfully in stable countries. The strategy has been used to improve capacities to respond to cholera, meningitis, Ebola Virus Disease (EVD) and other outbreaks or public health events. In this present paper, we share the experiences and impact of using IDSR to strengthen national surveillance and response systems in a country experiencing a protracted grade 3 humanitarian crisis that has persisted since 2014 with a scale that warrants major support from WHO and other United Nations Agencies . These eAnnex 1). The surveillance system components assessed include the availability of a list of priority diseases, conditions, and events for surveillance; the structure of the surveillance system; the core and support functions; and the quality of the surveillance system (Annex 1) [Annex 1) [This was an observational, descriptive cross-sectional study that used the quantitative program and aggregate epidemiological data for all the epidemiological weeks in 2019 and 2020 to document the progress of implementing IDSR and building national surveillance and response capacities in South Sudan. Additionally, other IDSR program data from 2006, were compared with program benchmarks to document the implementation progress. The study used Ministry of Health (MoH) IDSR and Early Warning Alert and Response Network (EWARN) data collected routinely at the health facility, county, and state levels or from periodic program monitoring reports during the study period. Program reports, including monitoring, training, support supervision, and periodic assessment reports, were reviewed to obtain the information on the program performance indicators (Annex 1) . We idenAnnex 1) . We usedThe periodic indicator measures were compared to the program targets during the study period to document quantitative and qualitative changes that demonstrate program performance concerning set indicator-specific targets. Quantitative changes in program performance indicators entailed absolute measurements, proportions, or rates. These descriptive analyses were undertaken in Microsoft Excel. We used aggregate data from routine Ministry of Health epidemiological bulletins and program reports with no personal identifiers, and therefore, an ethical review was not warranted for this present study.Ethics approval and consent to participate: administrative clearance for publication of this paper was provided by the Ministry of Health of South Sudan and WHO (WHO e-Pub no: ePub-IP-00331294-EC).We present the performance on indicators aligned to the five surveillance system components starting with the surveillance priorities, then the core and support functions, and surveillance system structure and quality.Surveillance priorities: South Sudan adopted the IDSR strategy in 2006, but systematic implementation aimed at establishing national surveillance structures aligned to the strategy started in 2009. These initiatives were further buttressed when South Sudan became a WHO Member State on 27 September 2012 and after the country committed to the IHR (2005) on April 16, 2013.Objectives for disease surveillance: the national surveillance goals are aligned to the IHR (2005) and the IDSR strategy for the African region 2020-2030. Thus, the South Sudan Ministry of Health adapted the third edition IDSR guidelines and training materials during a 5-day WHO-facilitated workshop from October 21, 2019. The Government eventually adopted these guidelines on November 13, 2019 thus paving the way for their dissemination and use by counties, health facilities and communities. Based on these guidelines, the main objective of the national surveillance system is to improve the country\u00b4s capacities to detect, report, confirm, and effectively respond to priority diseases, conditions, and events. The updated guidelines are explicit on one-health surveillance for zoonotic diseases, the use of eHealth to enhance surveillance, cross-border surveillance strengthening, and surveillance in humanitarian contexts.Prioritization of diseases for surveillance: as part of the revised 2019 national IDSR guidelines, the priority list was updated from the 26 diseases, conditions, and events prioritized in the 2012 guidelines to 59 diseases, conditions, and 19 events for indicator and event based surveillance (Annex 2 and Annex 3). The broad categories include diseases, conditions, or epidemic-prone events, diseases targeted for eradication or elimination; other major diseases of public health importance; and diseases or events of international concern (Annex 2 and Annex 3). The top cause of morbidity in South Sudan in 2019 was malaria that accounted for 75.9% of outpatient consultations and hence is top on the priority list and the National Health Sector Development Plan (2017-2022) to facilitate the implementation of IDSR in South Sudan. However, the public health bill and the animal health bill have not been enacted as Acts of Parliament as of writing this report.Legislation to facilitate outbreaks and emergency response: the overall mandate for regulation and provision of healthcare and health emergency response is constitutionally vested in the national and state governments. Consequently, the Minister of Health has sanctioned the formation of national and state-level outbreak task force committees to control outbreaks of cholera, measles, hepatitis E, and other public health events in recent years. In the same way, presidential orders were issued to establish the National COVID-19 task force to provide the overall policy, strategic, and oversight guidance and coordination of the national COVID-19 response.Designation of National International Health Regulations Focal Point: in line with the IHR (2005) requirement, the office of the Director General International Health and Coordination in the National Ministry of Health is the designated IHR (2005) National Focal Point (NFP) for coordinating IHR (2005) core functions implementation in collaboration with other sectoral focal points.Functioning International Health Regulations communication facilities: while the National IHR Focal Point has been designated, staffing and communication logistics remain inadequate for the office to meet functional and communication objectives. Official communication email and telephone facilities have not been designated for efficient communication with the other sectors and the WHO IHR focal point.International notification of outbreaks to World Health Organization: in compliance with the IHR (2005), an outbreak of yellow fever in Sakure, Nzara County and measles outbreaks in 20 counties were notified to WHO as potential Public Health Emergencies of International Concern (PHEIC) in 2019.National Integrated Disease Surveillance and Response and Early Warning Alert and Response Network Coordination: the Emergency Preparedness and Response (EP&R) department under the Directorate of Preventive Health Services in the national MoH is the designated IDSR coordination unit at the national level. It is supported by state-level surveillance focal points in the respective state MoH and the health promotion department. The committee also provides strategic and operational guidance on strengthening IDSR core and support functions at all levels. The EP&R committee convenes weekly to review and support preparedness for anticipated outbreaks and public health emergencies; coordinates initial investigations and responses to new and ongoing suspect or confirmed outbreaks and other public health emergencies. In 2019, there were 14 (27%) documented weekly EP&R meetings with minutes on the record.Evidence of sharing resources: to optimize IDSR functional capacities at all levels, integrated use of resources occurs through detection and reporting of acute flaccid paralysis (AFP), Guinea worm, other vaccine-preventable diseases (VPDs) to the respective vertical programs for case-based investigations. The integrated use of IDSR rapid response teams (RRTs) and surveillance focal points to investigate and respond to AFP, Guinea worm disease (GWD), and other VPDs. The use of IDSR/EWARS reporting resources to support reporting needs under the DHIS2 has also been initiated. Further, influenza sentinel surveillance resources under IDSR have been used to support Ebola virus disease, yellow fever, and COVID-19 investigations and laboratory testing.Intersectoral collaboration, networking, and partnership: effective control of outbreaks like cholera, Rift Valley Fever, Ebola virus disease, and COVID-19 requires the competencies of a designated intersectoral committee for systematic risk assessment, contingency planning, and effective response. However, South Sudan lacks a formalized multisectoral platform to take on this role. Moreover, recent intersectoral engagements are timebound and restricted to the active phase of outbreaks and emergencies. During the cholera outbreaks of 2014-2017, the Ministry of health and partners worked alongside the Ministry of water and irrigation and Juba City Council to implement water quality surveillance and improve access to safe water sources. In the same way, the Ministry of Livestock and Fisheries (MLF) has worked with the Ministry of Health and partners under the task force constituted to respond to the Rift Valley Fever (RVF) outbreak of 2017.Existence of functional laboratory networks: South Sudan has one National Public Health Laboratory (NPHL) that was founded in 1974 but was not inaugurated until 2014 and has capacities to test for cholera, measles, human immunodeficiency virus (HIV), tuberculosis (TB), influenza, Ebola, Marburg, yellow fever, severe acute respiratory syndrome coronavirus 2 (SARS-COV-2), and routine water quality testing . The committee members share disease surveillance information regularly, and a social media platform was created to complement the other official communication channels. The tripartite cross-border surveillance committee meets annually and has conducted one joint cross-border outbreak response simulation exercise on the Ebola virus in 2019. The committee has also conducted two cross-border outbreak investigations on Rift Valley Fever and yellow fever in 2019 and 2020, respectively. The later investigation resulted in the confirmation of a yellow fever outbreak in Kajo-keji county in March 2020. Synchronized yellow fever vaccination campaigns were implemented on either side of the international border by October 2020. Alongside Uganda, the Democratic Republic of Congo (DRC), and Uganda, South Sudan has participated in the Goma cross-border surveillance initiative. The initiative strengthened cross-border surveillance to mitigate the risk of cross-border spread during the 2018/ 2019 Ebola virus disease (EVD) outbreak in North Kivu and Ituri, DRC. South Sudan is also participating in intercountry meetings to strengthen regional health security. In May 2019, WHO-AFRO convened an intercountry meeting in Kigali, Rwanda, to strengthen regional health security for operational readiness and surveillance in response to the EVD outbreak in DRC. The meeting involved the four high-risk countries bordering DR Congo.Case detection and registration: South Sudan is implementing both indicator and event-based surveillance to detect and register new cases of priority diseases or other public health events. As part of strengthening indicator-based surveillance, case definition charts and booklets have been printed and disseminated for use at health facilities. In 2019, 3,540 case definition booklets and charts were printed and distributed to the 1,260 functional health facilities. This number of case definition job-aids translates into at least three case definition job-aids distributed per functional health facility. As part of community-based surveillance, the Boma health workers (BHW) and community health workers (CHW) use simplified and translated community case definitions for case detection and registration at the community level. These simplified community case definitions are included in the case definition booklets. Indicator-based surveillance is complemented by event-based surveillance, which entails informal alerts of potentially serious public health events from the community, health facility, county, state, or national level. The log of rumors and suspect outbreaks is used for recording new alerts or suspected outbreaks. In 2019, at least one log of rumors and suspect outbreaks was distributed per functional health facility. A national toll-free center hotline exists in the call center and is used to report community alerts. Additionally, the electronic Early Warning Alert and Response (EWARS) reporting platform includes an event based platform that facilitates alert recording, verification, and risk assessment by health facility, county, and state surveillance officers and watch officers in the Public Health Emergency Operations Center (PHEOC).In 2019, 3,184 alerts were detected and reported through the national event-based disease surveillance system using EWARS. The alerts reported in 2019 are four times higher when compared to the alerts (771) reported in 2018 . The sigCase confirmation and response to outbreaks and other public health emergencies: during 2019, at least 104 suspect outbreaks were reported and investigated, with 35 (33.65%) confirmed. Of the 35 confirmed outbreaks; 4 (11.4%) were due to Hepatitis E virus; 20 (57.1%) were due to measles; 9 (25.7%) were due to rubella;1 (2.9%) due to yellow fever; and 1 (2.9%) due to mass casualty (burns) ( (burns) . Since tReporting, data analysis and feedback: all priority diseases and events should be reported to the next high level either immediately, weekly, or monthly to facilitate appropriate public health action. Since the adoption of IDSR in South Sudan in 2006, routine IDSR reporting relied on a combination of paper-based, Microsoft Excel or Access datasets transmitted by email or radio calls to the next level. These approaches were fragmented, incomplete, and were associated with reporting errors and delays. Hence, in 2017, WHO, through the Global EWARS project, initiated support to the Ministry of Health and partners to streamline reporting. The support entailed modular training and technical support to facilitate the Early Warning Alert and Response System (EWARS) deployment. The EWARS is a web-based desktop and mobile application that can be rapidly configured and deployed to support early warning, alert management, and outbreak response. The EWARS mobile reporting has been deployed to support reporting in at least 1,260 functional health facilities in 10 States and three administrative areas. As part of the EWARS rollout from January 2019 to March 2020, WHO, in collaboration with the local governments and partners, has trained over 1,500 frontline health workers and distributed 21 \u201cEWARS in a box\u201d kits to facilitate real-time submission routine IDSR and disease outbreak reports. Each EWARS in a box kit contains 60 mobile phones with SIM cards, 25 solar power banks, and 60 EWARS quick start guides.The completion of electronic EWARS reporting rollout has positively impacted the timeliness and completeness of weekly IDSR reporting from the health facilities. The average timeliness for submitting weekly IDSR reports from the health facilities by the end of week 39, 2020 was 78% compared to 54% by week 39, 2019, representing an increase of 24%. In the same way, the average completeness rate of reporting from the functioning health facilities across the country by week 39, 2020 was 90% as compared to 54% in week 39, 2019 representing an increase of 36%. Overall, the completeness of weekly reporting from the health facilities by county improved in 2020 when compared to 2019 and 2020 . Early wEpidemic preparedness: epidemic preparedness and contingency plans are developed and updated within national and state-level efforts to improve public health security. The updated preparedness and contingency plans include cholera, epidemic meningitis, yellow fever, Rift Valley Fever, and floods. Emergency funds are incorporated into the overall MoH budget to facilitate the implementation of the plans for providing primary health care as defined in the basic package for nutrition and health (BPNH). Epidemic preparedness and response is also incorporated into humanitarian response in prioritized populations and supported using the Country-Based Pooled Funds (CBPF) and through the ongoing support to IDSR implementation by ECHO and USAID.Response and control: with support from the WHO, the MoH has established a national multi-hazards rapid response team and state rapid response teams in each of the 10 states with regular multi-hazard training and simulation exercises. The operations of the rapid response teams are guided by standard operating procedures that define the team composition, roles of each team member, and the procedure for activation, mobilization, and deployment in response to suspect and confirmed outbreaks. Once an outbreak is confirmed, the Minister of Health designates a task force committee to coordinate the overall response in liaison with other sectors and stakeholders.Performance on support functions: in November 2019, the South Sudan MoH adapted and adopted the third edition of IDSR technical guidelines. The guidelines are expanded to include guidance on event-based surveillance, cross-border surveillance, the use of information technology to enhance surveillance functions, guidance on surveillance in the humanitarian context, and the one-health approach. The initial training of trainers on the third edition IDSR technical guidelines have been completed. The cascade county county-level training plan has been finalized though the implementation was delayed and modified in the context of COVID-19. A dedicated national IDSR plan of action is updated annually and incorporates all the activities required to implement the support functions and strengthen the core functions at all levels. However, the plan of action is primarily donor-supported, thus raising sustainability issues in the medium to long term.The present study assessed performance for five core surveillance components to document the impact and experiences of deploying IDSR in a humanitarian context. Through the implementation of the IDSR strategy, South Sudan has registered significant progress towards strengthening the national disease surveillance system as demonstrated from the performance on key surveillance indicators for each of the surveillance components assessed in the present study.Objectives of disease surveillance: in line with the IHR (2005) and the regional strategy for IDSR 2020-2030, the South Sudan Government adopted the IDSR to expand and strengthen the national surveillance and response system. Over the years, the Government adapted the requisite guidelines, expanded the priority disease list, and provided technical oversight to establish surveillance focal points, train and equip them, and monitor the implementation of IDSR functions at all levels [l levels . Howeverl levels . Achievil levels ,11. SincIDSR structure: the South Sudan Ministry of Health has established coordination structures and technical focal points to optimize IDSR functions at the community, health facility, county, state, and national level. The cross-sectoral engagement has been exploited in response to recent cholera outbreaks (2014-2017), Rift Valley Fever (2017), and COVID-19. However, these efforts are timebound and confined to the active outbreak phase. Furthermore, these efforts need to be formalized and should be extended to span the entire epidemic and emergency management cycle. Hence, as part of the NAPHS, there are plans to formalize cross-sectoral linkages with relevant line Ministries [nistries . Furthernistries .Existence of laboratory networks: laboratory capacities are critical to the IDSR function of detecting and confirming public health hazards [ hazards . South S hazards . Over th hazards . This wiCross border collaboration: the regional outbreaks of EVD in West Africa in 2014 spread to at least five countries in West Africa. Moreover, exported cases were reported in Europe and the United States in 2014 and 2015. Cross border EVD spread was again reported during the 2018 DRC Ebola outbreak in Ituri and North Kivu that spread to Uganda. These incidents highlight the need to enhance cross-border surveillance and response [Performance on core and support functions: in line with the third edition IDSR technical guidance, South Sudan is expanding community and health facility-based surveillance using the indicator and event-based surveillance [eillance ,9. Boma eillance . Gaps ineillance . Reportieillance -19. A noeillance ,20.The limitations of this study entail incomplete program and epidemiological data and the cross-sectional nature of the study that is not ideal for demonstrating the program\u2019s impact. Therefore, we used multiple sources of data to triangulate information and reduce data gaps. Also, we used standardized program performance indicators to document progress on core and support IDSR functions.Since the adoption of IDSR in 2006, South Sudan has registered progress towards strengthening the national disease surveillance system. In compliance with the IHR (2005) and IDSR, the priority disease scope has been expanded, with indicator and event-based surveillance used to detect and report alerts and suspect cases. In addition, the countrywide rollout of electronic EWARS reporting has improved the reporting performance. Further, laboratory capacities continue to be strengthened following the inauguration of the National Public Health Laboratory, which now possesses capabilities for confirming priority bacterial and viral pathogens supported by a countrywide network for specimen referral. To facilitate investigation and response to suspect and confirmed outbreaks, national and state rapid response teams have over the years been trained, drilled, and deployed to support investigation and response to outbreaks of cholera, Rift Valley Fever, yellow fever, viral hemorrhagic fevers, and COVID-19. Epidemic preparedness is effectively supported through the national EP&R team. In contrast, the response to confirmed outbreaks is supported by task force committees of experts from varied disciplines and sectors using the incident management system (IMS) principles. The rollout of the third edition IDSR guidelines will further bolster this progress. The rollout will facilitate formal cross-sectoral one-health engagement, enable optimal use of EWARS and DHIS2, and allow effective cross border engagement. In collaboration with the health cluster partners, the MoH will continue using the IDSR to address fragile, vulnerable, and conflict-affected populations\u2019 surveillance and response needs. To ensure that these investments in IDSR are optimized and sustained, budget support towards strengthening the health system and surveillance system must be optimized. To address the challenge of high healthcare workers turnover, the working conditions of health workers in public health facilities must be enhanced. The NAPHS, which embodies IHR (2005) and IDSR priorities, should be implemented to enhance national and international health security. Finally, as the country works towards emerging from decades of conflict and economic downturn, donor support to the IDSR program must be sustained to reduce morbidity and mortality from priority health diseases, conditions, or events and enhance national and international health public health security.The integrated disease surveillance and response (IDSR) strategy provides a framework that countries in the WHO African region are using to attain core capacity requirements for the international health regulations (IHR (2005)). The member states in the African region have demonstrated that IDSR is a cost-effective strategy for effective preparedness, detection, investigation, response and control of epidemics and pandemics in the African region.Whereas the IDSR strategy has largely been used in stable settings, in this paper, we have demonstrated how the IDSR functions can be used to support Early Warning Alert and Response (EWARN) in humanitarian settings where the performance of surveillance systems is sub optimal. The sustained investment of resources towards IDSR implementation has improved the program reporting performance, thus allowing detection of major outbreaks, and averting morbidity and mortality;Program funding from domestic resources is critical for sustainability in the long-term."}
+{"text": "Patients with lepromatous or borderline leprosy may present two types of vasculonecrotic reactions: Lucio\u2019s phenomenon (LP) and necrotic erythema nodosum leprosum (nENL). These are serious conditions, which mostly lead to life-threatening infectious and thrombotic complications. The authors report the case of a patient with leprosy recurrence associated with an atypical type II reaction with LP characteristics on histopathology. M. leprae to dapsone, rifampicin and ofloxacin. The patient was submitted to a new regimen of multibacillary multidrug treatment (MB-MDT), prednisone 80\u202fmg/day and systemic antibiotic therapy, with significant clinical improvement after three weeks.A 32-year-old man with a history of multibacillary leprosy under treatment for ten years with negative bacilloscopy at discharge reported the appearance of erythematous papules on the upper limbs. He used prednisone 40\u202fmg/day on his own for five months and, when it was discontinued, pustules, vesicles, painful crusts and bullae with purulent content appeared on the plantar region , togetheMycobacterium leprae.Leprosy is a chronic granulomatous infectious disease with polymorphic manifestations caused by None declared.Larissa Daniele Machado G\u00f3es: Approval of the final version of the manuscript; design and planning of the study; drafting and editing of the manuscript; collection, analysis, and interpretation of data; effective participation in research orientation; intellectual participation in the propaedeutic and/or therapeutic conduct of the studied cases; critical review of the literature; critical review of the manuscript.Patr\u00edcia Motta de Morais: Approval of the final version of the manuscript; design and planning of the study; drafting and editing of the manuscript; collection, analysis, and interpretation of data; effective participation in research orientation; intellectual participation in the propaedeutic and/or therapeutic conduct of the studied cases; critical review of the literature; critical review of the manuscript.Paula Frassinetti Bessa Rebello: Approval of the final version of the manuscript; design and planning of the study; drafting and editing of the manuscript; collection, analysis, and interpretation of data; effective participation in research orientation; intellectual participation in the propaedeutic and/or therapeutic conduct of the studied cases; critical review of the literature; critical review of the manuscript.Ant\u00f4nio Pedro Mendes Schettini: Approval of the final version of the manuscript; design and planning of the study; drafting and editing of the manuscript; collection, analysis, and interpretation of data; effective participation in research orientation; intellectual participation in the propaedeutic and/or therapeutic conduct of the studied cases; critical review of the literature; critical review of the manuscript.None declared."}
+{"text": "Constipation is a common disorder of gastrointestinal motility, which usually causes infrequent stools, and difficulty in the passage of stools. Many aspects, including genetic predisposition, daily diet and behavior, socioeconomic status, and other biological and clinical factors are considered to be associated with the pathogenesis of constipation . ConstipBacillus coagulans BC01, Bifidobacterium lactis TY-S01, and Lactobacillus plantarum KFY02 increased the fecal moisture and gastrointestinal transit rate in mice . Furthermore, the authors found that these strains can promote the homeostasis of gut microbiota in the constipated mice . Bifidobacterium lactis TY-S01 and Lactobacillus plantarum KFY02 increase the community richness and bacterial diversity. More importantly, the structure and composition of intestinal flora in the constipated mice are markedly changed by these three strains, and the change in the abundance of special species depends on the strain specificity of probiotics. The mechanisms underlying these effects on constipation are summarized as follows.This Research Topic mainly focuses on the attenuation effect and potential mechanism of new probiotics on constipation. To date, five papers, including four research articles and one review article have been collected in this Research Topic. Bifidobacterium lactis TY-S01 increases the content of SCFAs, such as isobutyrate acid, butyrate acid, acetic acid, valeric acid, and propionic acid, in the feces of the constipated mice . These SCFAs may inhibit the growth of pathogenic bacteria by reducing the pH in the small intestine, and improve gut motility by increasing colonic smooth muscle contraction, therefore contributing to the amelioration of constipation symptoms (Ara\u00fajo and Botelho).Yi et al.). The destruction of gut barrier may result in the further invasion of pathogenic bacteria and their toxins, which aggravates intestinal inflammation. The maintenance of gut barrier integrity can inhibit the adherence of pathogens bacteria and their metabolites and facilitate stool passage (Ara\u00fajo and Botelho). Zhou et al. reported that the nuclear factor (NF)-\u03baB signaling-mediated inflammation in the small intestine of mice with constipation is inhibited by Bacillus coagulans BC01. Bifidobacterium lactis TY-S01 decreases the mRNA expression of colonic inflammatory cytokines in the constipated mice . Furthermore, the expression levels of gut barrier-associated key genes, including transient receptor potential vanilloid-1, mucin 2, stem cell factor, claudin-1, occludin c-kit, and glial cell line-derived neurotrophic factor are significantly regulated by Bifidobacterium lactis TY-S01 and Lactobacillus plantarum KFY02 , indicating that these probiotics have the potential ability to restore the gut barrier.The imbalance of intestinal bacteria can cause the release of inflammatory cytokines, thereby damaging the integrity of gut barrier . These intestinal hormones can regulate intestinal peristalsis and improve constipation symptoms . Besides, Zhou et al. reported that Bacillus coagulans BC01 reduce the production of vasoactive intestinal peptide and somatostatin in the constipated mice, contributing to the slowing down of intestinal transit time and the relief of constipation.The content of motilin, 5-hydroxytryptamine, and substance P in the constipated mice is increased by Zhang et al. examined the regulatory effect of synbiotic consisting of Bifidobacterium lactis BL-99 and fructooligosaccharide (FOS) on the intestinal flora from constipated individuals in vitro. They found that this synbiotic enhances the level of acetic acid, but also changes the structure of intestinal flora, and increases the abundance of beneficial bacteria. However, human and animal studies evaluating the improved effect of synbiotics on constipation are scarce (Ara\u00fajo and Botelho).Apart from the regulation of gut microbiota in the constipated mice by probiotics, in vivo studies and mechanism of synbiotics on constipation.In summary, although the above-mentioned probiotics show a good efficiency in improving the constipation of mice, randomized clinical trials are needed to further confirm their anti-constipation effect. The molecular mechanisms underlying probiotics effect on constipation, including the identification of key metabolites and their mode of action need to be further investigated. In addition, it is necessary to further strengthen the JS wrote the whole manuscript. XZ, K-yP, and HS provided some valuable comments. All authors contributed to the article and approved the submitted version."}
+{"text": "Psychological health problems, especially emotional disorders, have become an important topic of considerations for many scientists, because the epidemiology of these disorders is strongly influenced by stressful events, such as the SARS-CoV-2 coronavirus pandemic.The aim of this study was to evaluate selected parameters of psychosocial functioning as well as socio-demographic correlates of depression, anxiety, sleep disorders and perceived stress among the residents of the West Pomeranian Voivodeship.An online questionnaire was completed by 323 participants, in whom the parameters of psychosocial functioning were assessed: symptoms of depression (PHQ-9), anxiety (GAD-7), severity of sleep disorders (AIS) and perceived stress .The majority of the respondents (75.2%) scored high on the Perceived Stress Scale, almost half of the respondents (47.1%) had sleep disorders and 26% of the participants had no depressive symptoms. Age statistically significantly correlated with the severity of depressive symptoms and sleep disorders. Parental status statistically significantly correlated with the severity of depressive symptoms. There was a strong correlation between the severity of depression and anxiety and a strong correlation between depression and sleep disorders.Age and parental status contributed to the severity of depressive symptoms and the occurrence of sleep disorders among the residents of the West Pomeranian Voivodeship during the SARS-CoV-2 pandemic. Some of the residents of the West Pomeranian Voivodeship showed high levels of stress or insomnia. The severity of depressive symptoms significantly influenced the levels of anxiety and perceived stress, as well as the occurrence of sleep disorders.No significant relationships."}
+{"text": "The challenges of supporting the health and social needs of older adults and caregivers in rural and frontier areas are well-documented. It is common for rural older adults to experience barriers in accessing geriatric specialists, care coordination services, and caregiver support and education programs. The Wyoming Geriatric Workforce Enhancement Program (WyGWEP) is an innovative partnership comprising an academic geriatrics program, primary care delivery sites, single-unit on aging representing community-based organizations, and a tribal health program. This partnership, funded by the Health Resources and Services Administration, provides the infrastructure to assess needs, provide education and training, create programs to address gaps in care, implement practice innovation, and advocate for needs of rural older adults. This symposium includes five presentations detailing the unique projects of the WyGWEP partnership and the impact of this collaborative work on a variety of stakeholders. The results of a mixed-methods evaluation of the WyGWEP partnership will describe the benefits to the partners and areas for growth. A collaborative effort to assess the needs of older adults informs recommendations to support rural aging in place. Schenck et al. will describe the adaptation of the widespread ECHO model for use with dementia caregivers in rural and remote locations. Representatives from Wyoming\u2019s only Program for All-Inclusive Care of the Elderly (PACE) will explain the cost of a recent decision to de-fund and close this important program. Finally, the impact of a novel Chronic Care Management implementation program will be discussed, including sustainable billing revenue produced by rural primary care clinics."}
+{"text": "The number of patients with ocular disorders has increased due to contributing factors such as aging populations, environmental changes, smoking, genetic abnormalities, etc. Age-related macular degeneration (AMD) is one of the common ocular disorders which may advance to loss of vision in severe cases. The advanced form of AMD is classified into two types, dry (non-exudative) and wet (exudative) AMD. Although several therapeutic approaches are explored for the management of AMD, no approved therapy can substantially slow down the progression of dry AMD into the later stages. The focus of researchers in recent times has been engaged in developing targeted therapeutic products to halt the progression and maintain or improve vision in individuals diagnosed with AMD. The delivery of anti-VEGF agents using intravitreal therapy has found some success in managing AMD, and novel formulation approaches have been introduced in various studies to potentiate the efficacy. Some of the novel approaches, such as hydrogel, microspheres, polymeric nanoparticles, liposomes, implants, etc. have been discussed. Apart from this, subretinal, suprachoroidal, and port delivery systems have also been investigated for biologics and gene therapies. The unmet potential of approved therapeutic products has contributed to several patent applications in recent years. This review outlines the current treatment options, outcomes of recent research studies, and patent details around the novel drug delivery approach for the treatment of AMD. Age-related macular degeneration (AMD) is one of the common causes of irreversible loss of vision in individuals above 65 years ,2. AccorBased on pathophysiologic features, AMD is majorly classified into dry and wet-type. The initial presentation of the disease is the dry or non-exudative type, which may further advance in the later stage into wet or neovascular AMD ,15. AlthThe pathologic mechanisms involved in the development and progression of AMD are mainly related to the impairment and degeneration of RPE . The risApart from the difficulty in developing novel therapeutic agents due to the complicated pathophysiologic processes involved in the disease progression, the currently available therapies are limited due to safety, efficacy, and delivery issues . AMD affSeveral attempts have been made to develop reliable therapeutic and diagnostic tools for the effective management of AMD. The investigated therapeutic approaches as depicted in The inhibition of the complement system is one of the approaches which involves the suppression of complement proteins to downregulate the complementary pathways and the formation of the membrane attack complex . The comIn AMD patients, the visual cycle involving enzymatic reactions in the RPE and photoreceptor cells of the retina along with phototransduction cascade events may produce significant inflammatory and metabolic waste. The progressive build-up of these wastes culminates in GA and retinal impairment . Visual The transplantation or implantation of the cell can be an alternative therapy in AMD. Although a substantial number of cells of RPE may be damaged in AMD patients, other cells such as photoreceptors, ganglion cells, bipolar cells, etc. may sustain efficient retinal connections . TherefoInflammation has been reported to play a major role in the progression and pathogenesis of AMD . TherefoNeuroprotection involves the use of therapeutic agents to enhance neuronal endurance by protecting the anatomical and physiological features of the neurons. The neuroprotective agents in AMD are very important along with other therapeutic strategies for slowing down the progression and preventing the loss of vision ,63. ElamThe pathogenesis of AMD involves complicated pathways pertaining to fluctuations in angiogenesis and pro-angiogenesis factors, such as; (i) VEGF overexpression, (ii) pigment epithelium-derived factor (PEDF) deficit, (iii) the reduced expression of the extracellular domain of VEGF receptor 1, and (iv) the inhibition of pro-angiogenic factors ,67. TreaDespite the high efficacy of intravitreal therapy, it is associated with the burdens of frequent injections, high treatment costs, and is associated with the risk of an increase in intraocular pressure . RGX-314The delivery devices of anti-VEGF based on the port delivery system allows for their sustained release into the eyes. Ranibizumab (anti-VEGF antibody fragment) has been formulated and encased in sustained-release devices. The devices were able to achieve similar treatment outcomes with a considerably reduced frequency of administration ,77.The delivery systems used for therapeutic agents against AMD primarily revolve around using either implantable devices or intravitreal injectable liquids. Recently, scientists have made considerable attempts at improving the potential of therapeutic agents used for AMD by designing novel carriers that can reduce invasiveness at a low cost ,79. DespIntravitreal space is the most employed route for the delivery of therapeutic agents for AMD. The main reason behind the popularity of this route is its high safety, minimum invasiveness, convenient application, and adequate efficacy . Table 1The mesoporous silica nanoparticles (MSNs) functionalized with 3-aminopropyltriethoxysilane (3-aminopropyl) triethoxysilane (APTES) and mPEG-succinimidyl carboxymethyl ester (mPEG-NHS) were also reported to show improvement in the anti-VEGF potential of bevacizumab. In vitro studies showed that MSNs were effective in inhibiting proliferation, migration, and tube formation of endothelial cells induced by VEGF. Furthermore, the MSNs exhibited in vivo inhibition of corneal and retinal neovascularization . BevacizVollrath et al. developed sustained-release solid lipid implants of ranibizumab using the twin-screw extrusion method. The implant could load a high amount of protein (3 mg/implant) with consistently sustained release profiles for 120 days. The implant showed a predominantly high release of the monomeric form >95%) of the ranibizumab initially, followed by the formation of the hydrophobic type upon the completion of 18 weeks. The stability of the ranibizumab in the implant was exceptional with no signs of aggregation or alterations in secondary structures . PLGA mi% of the The researchers used a similar delivery system for the encapsulation of aflibercept. The rate and extent of release of aflibercept was also in a controlled manner depending upon the concentration of the cross-linking agent and the loaded microspheres. The drug released from the microspheres showed no signs of cytotoxicity from its degraded byproducts, and bioactivity was maintained throughout the complete release period . The preThe region between the RPE layer and the photoreceptors is considered as a subretinal space which allows the direct delivery of drugs to the RPE and photoreceptor cells. The subretinal injections utilize trans-scleral and trans-corneal routes in animal studies for attaining the required desired concentration of a drug in subretinal space ,114. It \u00ae) based on an equine infection-causing anemia virus was developed for delivering two anti-angiogenic genes (endostatin and angiostatin) to the retina to suppress angiogenesis and enhance the vision of patients [\u00ae was studied for subretinal delivery for the management of wet-AMD. The amount of endostatin and angiostatin increased after subretinal administration in rabbit eyes throughout the study. Ocular inflammation was reduced with 1 month of continuous dosing, with no considerable changes in electroretinograms and intraocular pressure [Gene therapy is one of the effective approaches for dealing with AMD by incorporating healthy genes in the cells of patients to avoid or treat defective genetic pathways. The benefit of using gene therapy is that it provides long-lasting treatment and enables targeted ocular regions to generate their protective agents . Streptopatients . RetinoSpressure . The recpressure . A phasepressure . Lambertpressure .The novel drug delivery techniques have facilitated better access to the suprachoroidal space for the treatment of ocular diseases. The drugs administered through the suprachoroidal space allow the attainment of higher concentrations in the retinal region, thereby reducing the undesirable delivery to the anterior ocular areas . A novelThe suprachoroidal graft of autologous cells was also proposed as a treatment for dry AMD, owing to its impact on the enhancement of visual acuity and microperimetric responses. The technique involved the implantation of adipose stem cells in the suprachoroidal space to stimulate the secretion of growth factors. The outcome was a significant improvement in visual acuity after six months, along with the maintenance of growth factor secretion and choroidal flow . The resImplantation containing adipose tissue-derived mesenchymal stem cells was evaluated for its safety and efficiency in patients with dry AMD. There were no occurrences of systemic or ocular complications in any of the patients with improvement in the visual field, visual acuity, and mf-ERG recordings . Zhang eA port delivery system (PDS) encompasses a robust reservoir fabricated for the prolonged delivery of the drug into the vitreous cavity after being implanted. The ability of PDS to release the anti-VEGF medication for a longer duration helps in reducing the overdependency on intravitreal injections for the treatment of AMD. PDS is applied through the surgical insertion of the device into the scleral space through conjunctival peritomy. After implantation, the drug diffuses from the release control element in a sustained manner into the vitreous, which can be filled again once emptied . A phaseSeveral studies have explored the utilization of some of the less preferred routes of administration to combat the limitations associated with existing therapies. Some of the routes reported in recent times chosen for drug delivery for AMD are the subconjunctival, topical, oral, etc. The subconjunctival region is located under the conjunctival membrane covering the sclera. The subconjunctival space is mostly chosen for delivering drugs to anterior ocular regions . A depotNumerous efforts were also made to deliver drugs and biologicals through the topical route owing to convenient and non-invasive administration . A topicAlthough the oral delivery of drugs provides a means of convenient and non-invasive administration, it is rarely chosen for the treatment of AMD due to the presence of ocular barriers, preventing effective delivery to the posterior regions. The phase II trial of an oral tablet formulation (X-82) containing anti-VEGF/PDGF agents was conducted to examine the efficacy of wet AMD. Although the product showed comparable improvement in visual acuity at higher doses, the limitations in safety and tolerability of the formulation resulted from the halt in further development. A case-control study reported the correlation between the oral administration of metformin and a reduction in the chances of developing AMD. The assessments indicate that metformin may possess therapeutic potential for AMD. However, there is a need for a comprehensive clinical study to assert the benefits of oral metformin therapy in preventing AMD development . StewartAMD management involves continuous observation, regular follow-up, and documentation for timely recognition of visual function, or else the condition leads to mortality. Several studies reported on the management of AMD, as presented in the previous section, both with the safety and efficacy of formulations alone and in combination with treatments such as photodynamic therapy. Practical therapeutics strategies for a complex disease such as AMD require the combination of multiple factors, including diet, lifestyle, and improved pharmacological interventions, and the direct development of not only effective but also safe treatment strategies. The systemic quality, safety, and efficacy of many investigated products after successful clinical trials leads to the granting of such patents, indicating the extreme necessity of these products . BesidesThis section is included to provide an outline of the patents granted or applied in recent years related to the use of novel delivery approaches for the treatment of AMD. A recent US patent application of mesozeaxanthin for the management of macular diseases, specifically AMD, proposed that the supplementation of mesozeaxanthin (dosage 0.5 and 50 mg/day) either alone or in combination with other carotenoids and vitamins may increase macular pigments . AnotherExpert opinion on the patent registered by Borodic for the administration of botulinum-toxin as an extra ocular infusion avoiding the risk of direct intraocular injections and complications associated with the patent indicated that co-administration with proteins such as hemagglutinin and monoclonal antibody makes a novel system for the development of the combined approach in the management of AMD . MoreoveOcular barriers pose challenges in the treatment of AMD, leading to therapies with suboptimal efficacy. To overcome this, there is a requirement for the development of novel therapies and drug delivery strategies to fulfill the unmet need. This review was focused on discussing drug delivery in AMD concerning currently available therapeutic approaches, emerging therapies, and the situation of patents. The intravitreal space is the most targeted route for AMD treatment for the delivery of anti-VEGF agents such as bevacizumab, ranibizumab, aflibercept, etc. The studies have also reported the use of novel delivery systems such as polymeric nanoparticles, liposomes, implants, microspheres, etc., which could help in enhancing therapeutic efficiency. The efforts were mostly towards controlling/sustaining release, prolonging residence time, reducing the incidence of adverse events, improving stability, etc. Subretinal and suprachoroidal routes were also investigated for cell-based and gene therapies for dry and neovascular AMD. The PDS of Ranibizumab is another interesting prospect for sustained delivery of the therapeutic agents, allowing for the reduction in dosing frequency. Lastly, the current patent situation included in the review showed that the suppression of the VEGF system is the major target for the treatment of AMD."}
+{"text": "Domains of social privilege are predictive of a number of key aging outcomes, such as physical and cognitive functioning. However, less is known about the dynamic interplay of - related but distinct- domains of privilege and how they are associated with cognitive and physical functioning. In the following project, we aim to close this gap by examining the role of multidomain identity and social background factors for initial levels and subsequent changes in psychological, cognitive and physical functioning. Specifically, we identified predefined social privileges within the Berlin Aging Study II (BASE-II) sample and related these categories, interactively, to markers of physical health (multimorbidity), perceptual speed (digit symbol), and psychosocial functioning (loneliness). Results highlight the dynamic interplay of multidomain identity and social background factors with aging related outcomes across a number of key domains."}
+{"text": "RecentlKosten et al.). Huang et al. reviewed fMRI papers of small animals under the state of stimulation categorized into electrical, visual, olfactory, auditory and other ways, and analyzed the similarities and differences, advantages and disadvantages of the stimulation sites, electrodes, and stimulation methods. The study provided invaluable comparative information on brain fMRI of small animals combined with stimulation .It is difficult to expound brain function at cellular, systematic and functional levels. Multimodal neuroimaging approaches are able to combine techniques such as calcium imaging, optogenetics, electrophysiology, chemogenetics with functional magnetic resonance imaging (fMRI) and help scientists uncover the relationship between neuronal activity and vascular network dynamics, which would promote our knowledge of the brain from the level of single cells or circuits to the whole brain implantable monopolar carbon electrodes were used to treat alcohol use disorder. This method of implantation generates smaller MRI artifact and serves clinical and basic research . In terms of data processing, Bao et al. constructed an automatic method for individual parcellation of rat brain MEMRI images, which further benefited case-control statistical analysis and improved the accuracy of ROI-based imaging analysis.Maharjan et al.). At the same time, resting state fMRI of AD mice after electroacupuncture(EA) at Baihui and Shenting indicated that the ReHo value of local neuronal integration in hippocampus, entorhinal cortex and other brain regions increased, as well as the number of functional connectivity and neural fiber connections between entorhinal cortex and hippocampus increased, suggesting that EA intervention may be an effective strategy to treat memory defects in AD recognition .Alzheimer's disease (AD) is the most common cause of dementia. Many clinical and basic studies have aimed at improving effective identification strategies for AD .Hippocampus is closely associated with cognition and emotion. Sepsis associated encephalopathy (SAE) has been identified as a common complication of sepsis. SAE-induced pathological changes in the hippocampus may lay the foundation for the development of cognitive dysfunction and affective disorders. Pan et al. used 18F-FDG PET/CT to identify the subregions of the posterior splenic cortex, the role of RSCDS and RSCGS in the coding process of rat contextual fear conditioning model, and the underlying brain network mechanism. The results showed that the role of rat RSCS in the formation of scene fear memory mainly depends on the RSCDS rather than the RSCGS.Chen et al.).In segmental sampling of rat's sciatic nerve imaging in DTI, RS-5 EPI sequence-derived FA and RD may be highly sensitive quantitative biomarkers for detecting histopathological changes of sciatic nerve in rats. These findings provide some reference value for the optimization of DTI sequence in the future peripheral nerve MRI research (We hope that the aforementioned studies which were included in this special topic can inspire new studies and novel future applications of small animal MRI in the fields of data acquisition, analysis methods, pre-clinical applications, biomarker detection and can contribute in more accurate prediction of disease progression and bring us a step close to clinical applications.All authors listed have made a substantial, direct, and intellectual contribution to the work and approved it for publication."}
+{"text": "The impact of COVID-19 on older adults goes beyond a higher risk for serious infection to long-term consequences such as decreased well-being and disability. In 2020, we formed an international and interdisciplinary research group and adopted a biopsychosocial model as a conceptual framework to guide our collaboration. Our ultimate goal is to mitigate the long-term health consequences of the pandemic and utilize affordable technology-based interventions to enhance the quality of life for older adults in Hong Kong, Singapore, Thailand, and the US. Five empirical studies will be presented with topics ranging from quality of life, fear of falling, attitudes toward technology, and the utilization of technology-based interventions. A path analysis from the first study indicated that physical frailty was the strongest direct power on quality of life followed by depressive symptoms, and life-space mobility. The second study found that fear of falling was predicted by falls risk, resistance, COVID fear, and health conditions. The third study revealed a strong connection between the COVID severity and positive attitudes toward technology, and social support facilitates the adoption of technology. The fourth study reported the benefits of using a technology-based body-mind intervention to alter a mismatch between fear of falling and actual fall risk and to increase the accessibility of the fall intervention. The final study indicated that utilizing an alternative online exercise program during the pandemic increased exercise regularity and enhanced motivation. Together, all five studies contribute to strategic implications on global mitigating long-term health consequences and essential issues for further research."}
+{"text": "COVID-19 has caused unprecedented disruptions to health, social and economic systems in countries worldwide including Ireland. Weaknesses in Public Health capacities have undermined health system resilience compounding the effects of the pandemic. The Essential Public Health Functions (EPHFs) provide a comprehensive, cost-effective approach to operationalising public health and a means to build health systems resilience. As Ireland looks to recovery, the Department of Health engaged the World Health Organization (WHO) to undertake a mapping of the current state of delivery of EPHFs to identify opportunities for improvement and support wider health system strengthening towards resilience.A strategic review of the delivery of EPHFs in Ireland was conducted with respect to policy, infrastructure, service provision and coordination and integration. Findings were reported in the context of international lessons identified through experience with COVID-19 and major health system challenges within the Irish context.There are significant capacities present within the Irish context to support the delivery of the EPHFs though they are limited in strategic cohesion, coordination and implementation. These include a high level of Public Health expertise, an agile and resourceful workforce, a strongly engaged community and significant evidence generation and synthesis capacities. Gaps recognised included ICT infrastructure and capacity, workforce resourcing and support, pandemic planning and public health governance, visibility, legislation, strategy and resourcing. COVID-19 has led to the development and strengthening of mechanisms to leverage a whole-of-government and -society approach to health that should be sustained to tackle ongoing and future stressors.The use of the EPHFs within the Irish setting provides a comprehensive approach to strengthening capacities for public health and enhanced population health and wellbeing."}
+{"text": "Mitochondria are organelles that serve as a central hub for physiological processes in eukaryotes, including production of ATP, regulation of calcium dependent signaling, generation of ROS, and regulation of apoptosis. Cancer cells undergo metabolic reprogramming in an effort to support their increasing requirements for cell survival, growth, and proliferation, and mitochondria have primary roles in these processes. Because of their central function in survival of cancer cells and drug resistance, mitochondria are an important target in cancer therapy and many drugs targeting mitochondria that target the TCA cycle, apoptosis, metabolic pathway, and generation of ROS have been developed. Continued use of mitochondrial-targeting drugs can lead to resistance due to development of new somatic mutations. Use of drugs is limited due to these mutations, which have been detected in mitochondrial proteins. In this review, we will focus on genetic mutations in mitochondrial target proteins and their function in induction of drug-resistance. Mitochondria consist of double membranes, the outer mitochondrial membrane (OMM) and the inner mitochondrial membrane (IMM), with intermembrane space in between. Invagination of IMM into the mitochondrial matrix results in formation of cristae, a structure that is essential for the function of mitochondria. Mitochondria serve as a central hub for physiological processes in eukaryotes, including production of adenosine triphosphate (ATP), regulation of calcium dependent signaling, generation of reactive oxygen species (ROS), and regulation of apoptosis and defects of mitochondrial enzyme leading to tumorigenesis and tumor progression due to abnormalities of the metabolic pathway or resistance to apoptosis domains, through control of mitochondrial outer membrane permeabilization (MOMP). Among the members of the BCL-2 family, anti-apoptotic proteins such as BCL-2, BCL-XL, and MCL-1 induce inhibition of apoptosis leading to tumor promotion with G101V, F104C, F104L, and D103Y mutations in the MCL-1 with L267V mutation detected in myeloma patients, the mutation does not interfere with binding of MCL-1 inhibitors such as S63845 and AZD-5991 to MCL-1, rather it prevents displacement of pro-apoptotic proteins by the drug, resulting in disruption of the process of apoptosis occurs upon induction of apoptosis, leading to an increase of MOMP, resulting in loss of membrane potential and release of cytochrome c is the first step of glycolysis. ATP-dependent phosphorylation of glucose is catalyzed by HK for generation of glucose-6-phosphate (G6P) which is also utilized in OXPHOS and the pentose-phosphate pathway most likely has an anti-apoptotic function. which might be responsible for its overexpression in most cancers. HK2 is bound to the outer membrane protein VDAC in mitochondria and probably gives HK2 an advantage regarding access to ATP generated during OXPHOS , a selective inhibitor of mIDH2, displays a potent inhibition of 2-HG production in the context of the ROS, a byproduct of normal metabolism of oxygen in cells, are highly reactive oxygen-containing molecules that react readily with other molecules in cells. Production of ROS occurs through recurring biochemical reactions during OXPHOS in the ETC with passage of electrons through a series of proteins in order to finally reach oxygen in mitochondria. Increased levels of ROS detected in cancer cells has long been regarded as tumorigenic through promotion of genomic instability. A moderately increased level of ROS in cancer cells can promote tumorigenesis and progression through activation of signaling pathways responsible for regulation of cellular proliferation, metabolic alterations, and angiogenesis as well as induction of DNA mutation and induction of apoptosis by release of cytochrome c by BAX/BAK harboring the T14634C mutation of ND6 that showed no change in expression of ND6 of complex II. Upon gaining electrons, ubiquinone is reduced to ubiquonol in order to supply electrons to complexes III and IV Cecchini . InteracMitochondrial dysfunction is a major cause of tumorigenesis and tumor progression in many cells. Many anticancer drugs that target dysfunctional mitochondrial metabolism and apoptosis pathways have been developed Fig. . HoweverPositive combination therapy can have a synergistic effect on efficacy (Duarte and Vale Therefore, selection of an optimal mitochondria-target in order to minimize drug toxicity, identification of patients who show resistance to the drug to be administered, and design of an alternative strategy for treatment in patients who show resistance are important. Combination drug therapy or another single drug capable of evading resistance might be an alternative strategy. Finally, as various anti-cancer drug therapies have been developed, cases of resistance to the drug have also been reported; thus, conduct of many clinical studies is still required in various cases in order to achieve a successful treatment outcome for cancer patients."}
+{"text": "Osteoporosis (OP) is a systemic bone disease characterized by the decreased bone mass and destruction of bone microstructure, which tends to result in the enhanced bone fragility and related fractures, as well as high disability rate and mortality. Exercise is one of the most common, reliable and cost-effective interventions for the prevention and treatment of OP currently, and numerous studies have revealed the close association between gut microbiota (GM) and bone metabolism recently. Moreover, exercise can alter the structure, composition and abundance of GM, and further influence the body health via GM and its metabolites, and the changes of GM also depend on the choice of exercise modes. Herein, combined with relevant studies and based on the inseparable relationship between exercise intervention-GM-OP, this review is aimed to discuss the moderating effects and potential mechanisms of exercise intervention on GM and bone metabolism, as well as the interaction between them.The online version contains supplementary material available at 10.1186/s12967-022-03700-4. Osteoporosis (OP) is a kind of systemic metabolic bone disease characterized by descending bone mass and destruction of bone microarchitecture, predisposing to the enhanced bone fragility and associated fractures, as well as the high disability rate and mortality \u20133. AccorCurrently, a variety of drugs with different mechanisms of action have been applied in preventing and treating OP. Nevertheless, in the process of integrated management of OP, the pivotal contribution of exercise intervention still cannot be ignored , 7. In tIn addition, as the largest and most complicated micro-ecosystem in human body, the gut microbiota (GM) and its metabolites play a critical role in the regulation of host metabolism, nutrition, immunity, and so on . MeanwhiImportantly, exercise is of great significance for the maintenance of whole-body health. On one hand, exercise can directly act on various tissues and organs of the body to regulate different functions. On the other hand, exercise could significantly alter the structure, composition and abundance of GM, and further affect the body health through GM and its metabolites . Meanwhi14 orders of magnitude bacteria are colonized in the intestine, and the number of genes in the genome of GM is about 150 times that of the total number of genes in human genome [As the largest micro-ecosystem in human body, more than 10n genome . The GM n genome . Currentn genome . Especian genome . MeanwhiFirmicutes and Bacteroidetes. Fuhrman et al. [Clostridium and Bacillus were positively related to urinary estrogen metabolites, and the diversity of GM also increased with the enhancement of proportion of hydroxylated estrogen metabolites in urine. Meanwhile, the use of probiotics and prebiotics could change the composition, structure and abundance of GM, indicating the benefits of probiotics and prebiotics for bone metabolism. Regarding this, a previous randomized controlled trial conducted by Nilsson et al. [10 CFU of Lactobacillus reuteri ATCCPTA 6475 had a significantly lower reduction in BMD than individuals in control group after 12 months of treatment. Lei et al. [Lactobacillus casei Shirota for a period of 6 months. Moreover, van den Heuvel et al. [Transgalactooligosaccharides was able to enhance the intestinal calcium absorption in postmenopausal women, thus enhancing the bone mass and preventing OP.Specifically, in terms of the clinical studies, Wang et al. conducten et al. examinedn et al. suggestei et al. observedl et al. showed iAs for the animals\u2019 studies, by constructing the mice model of postmenopausal OP induced by ovariectomy (OVX), Tu et al. revealedTaken together, there is a close link between GM and OP, and a healthy intestinal microenvironment state has a significant protective effect on the bone. Importantly, GM mainly affects the balance between osteoblast-mediated bone formation and osteoclast-mediated bone resorption, which plays a vital role in the regulation of bone metabolism and provides a novel target of intervention for the prevention and treatment of OP. Nevertheless, the relevant studies on the association between GM and OP are still in the initial stage, and more researches are needed to further clarify its deep-level mechanisms and explore more effective conditioning measures.As a kind of homeostatic stimulus, exercise intervention may diversify the GM and increase the number of beneficial microbial communities in gut. Exercise intervention contributes to enhancing the gastrointestinal peristalsis of body and promotes the timely excretion of feces, so as to reduce the contact time of intestinal mucosa with pathogens and harmful substances, further affect the characteristics of the intestinal contents and alter the composition of GM , 41. MeaThe dynamic balance between GM and host physiological function determines the possibility of host morbidity caused by GM imbalance. However, several previous studies have revealed that long-term chronic moderate-to-low intensity exercise has beneficial effects on body , 51. MorAkhmann mucophilus and Clostridium praevia, and these bacteria have been verified to be anti-inflammatory bacterial species [Verrucomicrobia, Verrucomicrobiaceae, Akkermansia and Dorea in the feces of the sedentary and overweight women increased after 6 weeks of moderate-to-low intensity power cycling training. Therein, Akkermansia and Dorea were verified to be able to ferment with dietary fiber as the substrate to generate the butyric acid. Besides, Hamasaki et al. [Enteric acidophilus, Bifidobacteria and Lactobacillus in their intestines increases, resulting in a decrease of the content of malondialdehyde and an increase of the activity of antioxidant enzyme, so as to improve a variety of metabolic processes in the body and then promote health [In addition, compared with the sedentary women, the premenopausal women who exercise continuously at the low intensity are equipped with the increased abundance of species . Moreove species also indi et al. also coni et al. , 64. Fore health , 66. HenNevertheless, different from the moderate-to-low intensity exercise, in the case of acute/vigorous exercise, the ischemic effects of intestinal mucosa and the enhancement of intestinal permeability resulting in the intake of bacteria and toxins could induce the inflammatory response of body . Accordi2max might reduce the visceral blood flow by 60\u201370%, and when the blood flow was reduced by 50%, the exercise-induced ischemia may result in the increased intestinal permeability. On the basis of this, the blood flows from the gastrointestinal tract via surrounding organs may also result in the loosening of tight junction proteins (mainly expressed by zonula occludens-1 (ZO-1) and Occludin), so as to further damage the intestinal mucosal barrier [With regard to this, Zouhal et al. suggeste barrier . Moreove barrier observedFirmicutes and Bacteroidetes. Li et al. [Autonomous exercise is a significant part of the structure of exercise modes. With regard to this, Matsumoto et al. first obi et al. also sugAgrobacterium reduced significantly in autonomous exercise group, suggesting that exercise intensity and exercise amount might be the variables influencing the function of GM. In addition, the changes in GM caused by exercise also seem to depend on the physiological state of individuals. A previous study conducted by Gordon et al. [In animal models, the most common type of forced exercise is the forced treadmill exercise. Compared with the autonomous exercise, the forced exercise has significantly different influence on the GM of experimental animals. With regard to this, in the mice model of colitis, Cook et al. observedn et al. indicateThe musculoskeletal system plays an indelible role and significance in the human health. In addition to acting as a scaffold for body, it also continuously communicates with other organs through the biochemical signals, and has basic neural, immune and endocrine regulatory functions , 86. TheFirmicutes and Bacteroides. Moreover, in terms of the clinical practice, Ilesanmi-Oyelere et al. [Recently, there have been research reports that the promoting effects of exercise on the bone is closely associated with GM. In a previous study, McCabe et al. focused e et al. conductee et al. concludee et al. \u2013101.Blautia, Roseburia, Anaerostipes, Butyricicoccus) in the intestine of athletes under high intensity exercise conditions. Butyric acid can directly supply the energy to the intestinal epithelial cells and repair injury, thereby reducing the injury to intestine of body caused by high intensity exercise training [Veillonella isolated from the feces of marathon athletes into experimental mice, and the exercise endurance of mice was significantly improved. Besides, several studies have also reported that the production of butyric acid is related to the production of heat shock protein 70 (HSP70) [As one of the significant metabolites of GM, SCFAs are mainly composed of the carboxylic acids and small hydrocarbon chains , 103. SCtraining , 111. Metraining suggestetraining transpla (HSP70) , 115. HSBacteroides enterica and Escherichia coli were involved in the production of secondary BAs in the colon, and exercise may increase the level of secondary BAs by increasing the contents of beneficial bacteria. Meanwhile, Meissner et al. [In addition to SCFAs, the metabolic disturbance of bile acids (BAs) is also involved in the occurrence and progression of OP. As a kind of signal molecule, BAs not only play a significant role in the absorption, transport and distribution of fat and fat-soluble vitamins, but also participate in the regulation of energy metabolism, thereby inhibiting the excessive proliferation of GM . Fukiya r et al. also revr et al. showed tr et al. , 121. ItDifferent exercise amount and exercise intensity may have different effects on the intestinal mucosal barrier and mucosal immune function, and regular moderate exercise may reduce the incidence of infection in body . MeanwhiIn addition, the long-term aerobic exercise can enhance the adaptability of body to exercise, and the intestinal mucosal barrier function can also be significantly improved under the long-term exercise intervention . Kang etOn one hand, GM is involved in immune maturation and anti-infection protection of the body, and in this process, the microorganisms are involved in immune system to recognize and distinguish between the beneficial and harmful bacteria . On the Lactobacillus and Bifidobacterium [Lactobacillus yeast, while the levels of IgA, IL-4 and IL-12 in saliva were not significantly changed. Furthermore, as a kind of indigestible polysaccharide, the prebiotics can stimulate the activation and growth of one or more beneficial bacteria in intestine. Similarly, Drakoularakou et al. [Galactooligosaccharides (GOS). Regular supplementation of Fructooligosaccharides (FOS) is also related to increased serum intestinal peptide concentrations and decreased circulating C-reactive protein (CRP) levels [In addition, the supplementation of probiotics/prebiotics also has a crucial impact and repercussion on exercise-mediated immune regulation. Athletes might also benefit from the regular probiotic supplementations, while with certain strain specificity , 143. Practerium , 145. Practerium \u2013148. Beracterium revealedu et al. revealed) levels . As a re) levels , more anFirmicutes and Bacteroidetes, induce the proliferation of beneficial bacteria and metabolites, and improve the function of intestinal mucosal barrier, so as to further modulate the bone metabolism. Hence, the appropriate exercise has indelible effects on prevention and treatment of OP. However, there are still various issues need to be negotiated in the researches on relationship between exercise, bone metabolism and GM and its metabolites, specifically including: (1) The mechanisms of exercise-related GM and its metabolites directly regulating bone metabolism needs to be further improved; (2) Whether the exercise-related GM and its metabolites have the linkage effects with other important organs in body to indirectly modulate bone metabolism; (3) Paying attention to and screening out the specific GM suitable for different races around the world and the specific flora for improving the motor function may provide the novel insights for the healthy development of motor system and the improvement of motor function level. Nevertheless, with the increasing maturity of microbiome technologies and the wide application of sterile or GF animals, it is believed that further in-depth exploration might provide new perspectives for the researches on link between exercise, GM and its metabolites, and bone metabolism, and also promote the interdisciplinary and integrated researches of exercise physiology, microbiology and metabolomics.In general, there is increasing evidence that exercise is an independent factor of external environmental stressors that affects the composition and diversity of GM, and improves the body metabolism and immune system. The imbalance of GM has a direct impact on the normal physiological function and the health status of host. Exercise can enrich the abundance and diversity of GM, improve the proportion of Below is the link to the electronic supplementary material.Supplementary Material 1Supplementary Material 2"}
+{"text": "The Inner Mongolia Autonomous Region ranks first among the five major pastoral areas in terms of lamb breeding of China. The Inner Mongolia Autonomous Region has a vast territory, with many famous grasslands and thousands of forage plants and multiple local high-quality lamb breeds. After hundreds of years of artificial breeding and improvement, Mongolian sheep have developed many varieties. Different diets, feeding and treatment methods have effects on the production performance, lipid deposition and flavor composition of mutton sheep. Therefore, understanding the relationship among Inner Mongolian lamb, meat quality, and flavor will improve the production of high-quality mutton. The regulation of meat quality and flavor will have a profound impact on the deep processing and income-generating capabilities of mutton. Non-genetic factors affect the quality and flavor of mutton, which are more intuitive than genetic factors. In this review, we cover the contributions made by scientists to explore and improve the quality and flavor of Inner Mongolia lambs through non-genetic means, compare the differences between grazing and drylot-feeding in detail, and summarize some feed additives. We hope that based on our review, we can provide some inspiration to improve the meat quality of Mongolian sheep. China is the world's largest producer of mutton. Among the five major pastoral areas in China, the Inner Mongolia Autonomous Region ranks first in the mutton industry in the country, accounting for 33% of the country's total mutton production . There aAccording to geographical distribution and genetic relationship classification, there are Tibetan sheep, Mongolian sheep and Kazakh sheep in China. Mongolian sheep is a short fat-tailed sheep, which is the most abundant and widely distributed sheep breed in China, and is suitable for extensive management of nomadic grazing throughout the year . MongoliMutton is an indispensable source of high-quality protein in the human diet . The conlongissimus thoracis, biceps femoris, and triceps brachii) are mainly glycolytic type II B fibers. With the increase of months, the muscle fiber has a trend of I \u2192 IIA \u2192 IIB. The diameter and cross-sectional area of muscle fiber gradually increase with the number of months, but the increase is slower after the age of 6 months , and whole-drylot-feeding . As the longissimus thoracis muscle of the grazing group were significantly higher than those of the drylot-feeding group; the fat content, slaughter, net meat rate, and redness value of the drylot-feeding group were higher than those of the grazing group . Th. Thlongiopposite 57, 58), 58longiopposite . The expas lower . The n-3as lower . Of couras lower . The maias lower . Owing tas lower . The umaas lower . Althougsemitendinosus and longissimus thoracis muscle of the grazing group and the heat denaturation temperature were higher than those of the drylot-feeding group . After sheep have eaten odorous forages, and are then fed without odorous forages for 7\u201314 days, the odor can be eliminated produce significantly higher volatile indole content in the rumen than those grazing on other types of pastures, so their flavor is poor , indicating that A. mongolicum polysaccharide has an immunomodulatory effect on sheep peripheral blood lymphocytes in the diet reduced the crude fat, SFA, and SA content of mutton and increased crude protein, crude ash and dry matter, MSFA, and PUFA, among them, the content of ALA increased by 13.89%, and no heavy metal residues were detected (Jujube) in the diet can effectively promote the immunity, growth and development of Bamai sheep, and increase the crude fat content and IMP content in Bamei mutton.Chinese herbal medicine is based on natural animals, plants, and minerals; contains many flavor substances and antibacterial ingredients; and has dual functions of nutrition and medicine , 131. Itdetected , 136. Gadetected pointed Lycopene is a carotenoid, mainly found in tomato pulp. This natural plant pigment has strong antioxidant properties, can regulate cell growth and metabolism, and enhances the body's immunity. The polyunsaturated double bond structure of lycopene has the effect of scavenging free radical groups, so that lycopene has strong antioxidant properties. Ma et al. found thAlfalfa and silage are considered important feeds for herbivores, providing abundant feed protein and physically effective neutral detergent fibers. Alfalfa saponin is one of the most valuable plant secondary metabolites. Saponins are composed of a fat-soluble core with a steroid or triterpene structure and are amphiphilic. This structure gives saponins membrane-dissolving activity and explains their antibacterial, antitumor, and anti-inflammatory properties in animals. In addition, saponin can act on cholesterol and control lipid metabolism through its ability to bind cholesterol in the intestine and other tissues put forward different requirements for the tenderness, intermuscular fat content, flavor, and other attributes of lamb. Therefore, the identification of mutton in different regions should be made through two aspects. On the one hand, the local government should regulate the mutton industry chain in accordance with policies as soon as possible; On the other hand, the identification of sheep grazing in different grasslands depends on the whole-process traceability technology and the correlation between different geographical environment characteristics and local meat quality.Factors such as livestock age, gender, castration, tail docking, feed additives, nutritional level of the diet, grazing and drylot-feeding all affect the quality and flavor of mutton, which are more intuitive than genetic factors. Feed is a key factor in improving the quality and flavor of mutton; the rumen fermentation process and biohydrogenation have a great influence on the composition of intramuscular fatty acids; antioxidant levels of lamb during storage and cooking are also worth investigating. Through the combination of appropriate breeding methods, nutritional control factors and scientific management, the quality and flavor of mutton can be improved, the mutton taste problem of mutton can be fundamentally controlled, and the needs of consumers can be met.YL: writing\u2014original draft and writing\u2014review and editing. RL and YY: writing\u2014review and editing. YZ and YH: resources. HW: supervision and funding acquisition. KL: supervision. All authors contributed to the article and approved the submitted version.This research was funded by the Science and technology projects in Inner Mongolia Autonomous Region (No. 2021GG0029) and Central Public-interest Scientific Institution Basal Research Fund (Nos. 1610332022013 and 1610332022009).The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest.All claims expressed in this article are solely those of the authors and do not necessarily represent those of their affiliated organizations, or those of the publisher, the editors and the reviewers. Any product that may be evaluated in this article, or claim that may be made by its manufacturer, is not guaranteed or endorsed by the publisher."}
+{"text": "PRESENT . Moreover, the two Panels of the second day brought together respected specialists who discussed the focus of the AMN as a society and on TBI in low- and-middle-income countries.The second day of the 2022 Academy of Multidisciplinary Neurotraumatology (AMN) Virtual Congress began with Session 4, with Prof. Karin Diserens (Switzerland) and Dr. Pieter Vos (the Netherlands) as chairpersons. The day encompassed a plethora of presentations on TBI, with the speakers approaching subjects such as disorders of consciousness, the role of Brain-Derived Neurotrophic Factor (BDNF), diffuse axonal injury, the impact of TBI on the Alzheimer's Disease, personalized approaches to TBI management, traumatic brain hemorrhage, the role of oxiracetam nanodelivery for the enhancement of memory, the complications of decompressive craniotomies following TBI, neurovascular therapies and the innovative The first presentation regarded the modern concepts of disorders of consciousness, where Karin Diserens (Switzerland), Head of the Acute Neuro-rehabilitation Unit at the Department of Clinical Neurosciences from Lausanne University Hospital (Switzerland), shared her expertise on neurotrauma. The pathologic alteration in consciousness represents one of the most challenging aspects of TBI since the simple definition of consciousness during history proved to be problematic from a scientific point of view and from a philosophical one. The evolution of medicine has led to better outcomes secondary to brain injuries, prolonging survivability. Several aspects of the disorders of consciousness have led to a better and deeper understanding of the Disorders of Consciousness (DOC) from an anatomical, biological, and functional perspective.In modern medicine, the concepts of DOC have changed with the help of electroencephalogram (EEG) or functional Magnetic Resonance Imaging (MRI) studies and translational neurology. These concepts are a mirror to the continuous development of medicine.Secondly, Anton \u00c1lvarez (Spain), Director at Medinova Institute of Neurosciences and Clinical Research and Director at QPS-JSW Life Sciences (Spain), presented an intriguing insight into the role of Brain-Derived Neurotrophic Factor (BDNF) in clinical and basic research. BDNF represents the most abundant neurotrophin in the brain with an essential role in synaptic plasticity, cell differentiation and survival, playing a vital role in neuropathology and treatment and exerting a positive influence on TBI neurorecovery by promoting endogenous processes of regeneration, thus enhancing survival, and improving TBI outcomes. It is, therefore, essential to enhance BDNF in the brains of TBI patients to improve cognition and prevent dementia after TBI. Lastly, it is crucial to consider the shift from acute neuroprotection to sub-acute and chronic neurorestoration.Moreover, Pieter Vos (the Netherlands), Neurologist at the Department of Neurology at Slingeland Hospital in Doetinchem (the Netherlands), conducted a fascinating presentation regarding diffuse axonal injury. Diffuse axonal injury is one of the significant complications of TBI that can lead to impairment and death. With an unknown incidence, this insult to the brain leads to malfunction of the neuronal networks, affecting various functional structures of the brain. Diffuse axonal injury is found mainly in severe TBI cases, predominantly affecting the white matter of the frontal and temporal lobes and the structures of the brainstem and corpus callosum. The definitive diagnosis is made post-mortem, although imagery like Computed Tomography (CT) or MRI can identify various lesions secondary to diffuse axonal injury. Therefore, Dr. Vos highlighted that for TBI patients with diffuse axonal injuries, preventing secondary injuries and providing physical, neuropsychological, and pharmacological rehabilitation is of utmost importance in decreasing morbidity and mortality.The session ended with a presentation by Alexandru V. Ciurea (Romania), Vice President of the Romanian Ministry of Health Neurosurgical Committee, Chief of Neurosurgery and Scientific Director at Sanador Medical Center Hospital in Bucharest and Professor of Neurosurgery at Carol Davila University in Bucharest (Romania), on the role of TBI as a trigger or aggravating factor in Alzheimer's disease. Several pathophysiological aspects of TBI remain an enigma. Thus, the gap between translational and clinical research represents a need, an opportunity, and the future of TBI. A close collaboration between clinicians and translational researchers will lead to the further development of this field, mainly by finding comparable data between human and animal models. Prof. Ciurea presented a current study on Alzheimer's Disease and TBI on 19 patients, from 2013 to 2022, showcasing that TBI is an aggravating factor for Alzheimer's disease, as it affects synaptic transmission. Prof. Ciurea discussed further prevention strategies for Alzheimer's Disease.th session, Prof. Christian Matula (Austria) and Prof. Martin Rakusa (Slovenia) represented the chairpersons, and exciting topics related to neurosurgical aspects of TBI and inspiring approaches towards TBI were showcased.During the 5At the beginning of the session, Felix Brehar (Romania), Head of the Stereotactic and Functional Neurosurgery Department at Bagdasar Arseni Clinical Emergency Hospital in Bucharest and Associated Professor at Carol Davila University of Medicine and Pharmacy in Bucharest (Romania), presented current and future trends toward a personalized approach to TBI management. A successful individualized approach should pinpoint the presence, the severity, the possibility that the patients would recover on their own, the best treatment option, and what the long-term disability would be. A personalized approach integrates clinical diagnosis, multi-omics approach, and tailored treatment. The multi-omics integrates data on genomics, epigenomics, transcriptomics, proteomics, and metabolomics. Prof. Brehar showcased the role of biomarkers in TBI in the diagnosis, stratification, delivery of targeted therapy, and prognosis. A take-home conclusion from the presentation regards the variability in TBI, the need for further research and the importance of multimodality and interdisciplinary efforts in the approach of TBI.th session of the Congress ended with the skillful presentation of Prof. Stefan Florian (Romania), Head of the Department of Neurosurgery at Cluj County Emergency Hospital and Vice President of the Romanian Society of Neurosurgery. Prof. Florian delivered a detailed perspective regarding the complications of decompressive craniectomy in TBI.Bringing forth another inspiring approach, Martin Rakusa (Slovenia), Consultant Neurologist in the Division of Neurology and Head of the Medical Research Department at University Medical Centre Maribor (Slovenia) discussed the topic of traumatic brain hemorrhage. Prof. Rakusa pinpointed the rarity of traumatic hemorrhage in TBI, with a more common occurrence in more severely affected patients, as well as the lack of association of anticoagulants with hemorrhage. An equally insightful presentation was that of Hari Shanker Sharma (Sweden), director of Research at the International Experimental Central Nervous System Injury & Repair (IECNSIR) at Uppsala University. Prof. Sharma discussed on the role of oxiracetam nanodelivery for the enhancement of memory, functional recovery, and induction of neuroprotection following a concussive head injury. The 5The last session of the AMN Congress, Session 6, having Prof. Michael Chopp (USA) and Prof. Hari Shanker Sharma (Sweden) as chairpersons, discussed neurovascular therapies and the innovative TBI registry, PRESENT. The first speaker of the session, Michael Chopp (USA), Vice Chairman for Research of the Department of Neurology and Scientific Director of the Henry Ford Neuroscience Institute in the USA, discussed the topic of exosomes and neurotrophic factors in Neurovascular Therapy. On a microscopic level, exosomes represent a valuable structure with various functions. For example, they can assure intercellular connection by transporting different nucleic acids, proteins, or lipids. Prof. Chopp further discussed on the progression of diseases, and potential biological markers of different lesions.It was dr. Iulia Vadan (Romania), Neurologist at RoNeuro Institute for Neurological Research and Diagnostic in Cluj-Napoca (Romania), who then discussed the status of PRESENT. PRESENT, short for Patient Registry, Short Essential Neurotrauma, has been developed as an international, multidisciplinary longitudinal, prospective registry. The registry represents an electronic platform for TBI patients, covering the patient's pathway during the hospital stay and discharge, with possibility of implementation at national and international levels. PRESENT will be able to mirror the multimodal treatment in TBI. One of the main characteristics of TBI is the heterogeneity of mechanisms, causes, and types of brain injuries, as well as the patient's particularities that lead in a first phase to the primary injury and then to secondary injuries. Furthermore, the patient's rehabilitation after TBI is of utter importance by influencing the degree of posttraumatic disability and the patients' quality of life, as well as their families. Based on an electronic platform, it is a valuable tool in obtaining a TBI patients database that will cover several elements from epidemiology to the pathway of care, outcomes, treatments, and rehabilitation measures.Finally, Prof. Andriy Huk (Ukraine), Chief of the Department of Endoscopic and Craniofacial Neurosurgery at Romodanov Neurosurgery Institute, painted an inspiring portrait of the role of PRESENT in the multimodal treatment following a TBI.rd Panel \u201cThe AMN is an ambitious medical society-what should be its focus?\u201d, Volker H\u00f6mberg (Germany), Jongmin Lee (South Korea), Johannes Vester (Germany), Lynne Lucena (The Philippines), Christian Matula (Austria), Nicole von Steinb\u00fcchel (Germany), Pieter Vos (The Netherlands) and Dafin Muresanu (Romania) discussed the focus of AMN as a modern medical society. The AMN aims to advance research, practical application, and education in neurotraumatology and is determined to become a leading example of multidisciplinary cooperation. However, considering the complexity of TBI, especially with the fast-growing advancement of research and innovation, finding the right path for scientific societies can be a challenging pursuit.During the 3The AMN Congress was finalized with the last of the panels, respectively Panel 4 \u201cTBI in low- and middle-income countries \u2013 what are the specifics, what are the pragmatic solutions for improvements\u201d, where panellists like Felix Brehar (Romania), Volodymyr Golyk (Ukraine), Ignacio Previgliano (Argentina) and Tarek Lotfy (Egypt) alongside members of the AMN board and specialists from Romania, including Andriy Huk (Ukraine), Johannes Vester (Germany), Nicole von Steinb\u00fcchel (Germany), Stefan Strilciuc (Romania), Razvan Chereches (Romania), Irina Vlad (Romania), Iulia Vadan (Romania), Constantin Radu (Romania) showcased the specific problems of neurotrauma in low- and middle-income countries (LMIC), as well as discussed possible approaches.LMIC are more affected by TBI than more resourceful ones and experience specific challenges in practice and research, the availability and reliability of data. Pragmatic solutions, such as PRESENT are needed to obtain more profound knowledge about TBI.Moreover, it is crucial to consider the needs and particularities of the specific countries when discussing TBI research and consider the patient's pathway through the medical system. Therefore, having an \u201cecological\u201d approach and considering the larger picture when approaching TBI remains of utmost importance.AMN website.The exciting event showcased insight into a wide-range of TBI-related themes, offering a glimpse into the complex and intricate world of neurotraumatology. The multidisciplinary principle of the AMN is reflected in the variance of perspectives presented, standing as the cornerstone of future research and medical practice. In a fast-changing and unpredicted environment, collaboration and dissemination of knowledge, skills, and innovation support the pursuit of science and bring optimistic perspectives for the future. More information on the congress can be found on the"}
+{"text": "In the United States most adults have a preference to die at home and is an indicator of good end-of-life care. In the context of dementia, family members and caregivers are decision makers and part of good and equitable care involves understanding cultural variation in attitudes and social norms related to dementia, death and dying, and the meaning of a good death. This symposium explores racial and ethnic variation in lifetime dementia diagnosis and end-of-life care quality indicators. The first presentation examines racial, ethnic, and geographic variation in the rarely discussed lifetime prevalence of dementia and survival time from dementia diagnosis to death using national Medicare data. The second presentation describes the relationship between end-of-life care planning and satisfaction with end-of-life care using data from the Health and Retirement Study. The third presentation describes variation in place of death, a key indicator of end-of-life care quality, by dementia diagnosis and race/ethnicity using national Medicare data. The fourth presentation examines variation in hospice use, another indicator of end-of-life-care quality, and place of death by dementia diagnosis, race, and ethnicity using national Medicare data. The symposium concludes with a presentation examining the relationship between place of death and satisfaction with care received using data from the Health and Retirement Study. The Institute for Healthcare Improvement\u2019s Triple Aim serves as a lens for discussing policy and practice implications of the major findings from each presentation."}
+{"text": "Participatory action research (PAR) is a promising approach to engage older adults in self-determined research that influences policies and practices; however, the voices of older adults are very often missing from most PAR projects. The purpose of this paper is to reflect upon the challenges and opportunities of engaging lesbian, gay, bisexual, transgender, and queer (LGBTQ+) elders of color in PAR during the Covid-19 pandemic. Data were generated through interviews with LGBTQ+ elders of color and their caregivers and analyzed thematically. Findings illustrate several barriers and facilitators of conducting PAR during the pandemic. Barriers included feelings of distrust toward research(ers), pandemic related issues and illnesses, and competing priorities and interests. Facilitators included leveraging community connections and participating in community-based activities. Study findings have the potential to advance a critical turn in gerontology that is committed to the liberation of marginalized older adults in aging research, policies, and practices."}
+{"text": "The COVID-19 pandemic was declared a Public Health Emergency of International Concern on January 30, 2020. The government of Zimbabwe through the Ministry of Health and Child Care set up the COVID-19 national preparedness and response plan in which the laboratory was a key pillar. The implementation of PCR testing, genomic sequencing, and the establishment of quality management systems during the COVID-19 response strengthened the capacity of the public health laboratory system in responding to the pandemic. Here we present the different strategies taken by the government that strengthened laboratory capacity, the lessons learned during the COVID-19 response, and recommendations on how the capacity can be sustained and leveraged for outbreak response in the future. On the 30The development of the National COVID-19 Laboratory testing strategy and the review of the National Health Laboratory Strategy and policy documents in the context of COVID-19 played an important role in strengthening the laboratory in Zimbabwe. Tools for guidance and standard operating procedures for use during implementation were developed, reviewed, and approved as a matter of urgency, adopting WHO guidelines for SAR-CoV-2 infection detection.th of March 2020 [Typical of health systems in sub-Saharan Africa, the capacity to respond to the COVID-19 pandemic in Zimbabwe was low due to inadequate funding and a lack of trained personnel to conduct COVID-19 testing and genomic sequencing . Zimbabwrch 2020 . The govThe Ebola virus disease (EVD) outbreak in West Africa provides useful lessons on how emergency responses can impact health systems, . Novel tThe Ebola virus disease (EVD) outbreak in West Africa provides useful lessons on how emergency responses can impact health systems, . Novel tThe emergency use listing of two Ag-RDT, Abbott and SD Biosensor by WHO in September 2020 led to tThe COVID-19 response demanded strict adherence to quality when performing COVID-19 testing to ensure accuracy, reliability, and timely release of results. Before the COVID-19 pandemic in Zimbabwe, a few government and private laboratories were participating in external quality assessment programs (EQA) such as proficiency testing (PT). During the COVID-19 pandemic, the MoHCC and partners through the DLS facilitated the setting up of quality management systems (QMS) and participation of laboratories in PT programmes offered by organisations such as the WHO, Thistle (South Africa), and One World Accuracy (Canada). To standardise laboratory testing of COVID-19, Africa CDC in collaboration with ASLM and PanaBIOS as technical leads, introduced the COVID-19 Laboratory testing certification Program (CoLTeP) to ensure accuracy, and reliability of test results and that testing procedures be conducted under appropriate biosafety and biosecurity conditions . A totalThe COVID-19 response brought about collaborations and partnerships in the form of inter-governmental, government to private, government to institutions and institution to institution collaborations. These partnerships strengthened the public health laboratory system in Zimbabwe in areas of the supply chain and logistics, training of laboratory personnel, sequencing, QMS, and outbreak response. Different partners came aboard to support the pandemic response by providing technical support for SARS-CoV-2 testing, outbreak response, building sequencing capacity, buying of reagents, and capacitating laboratory personnel e.g. the WHO, the Jack Ma Foundation , BiomediEarly response to the COVID-19 pandemic in Zimbabwe was slowed due to a lack of skilled personnel to perform SARS-CoV-2 molecular testing among other reasons. Many laboratory cadres also lacked training and skills in disease outbreak response. Collaborative efforts with organisations such as the Kwazulu-Natal Research Innovation and Sequencing Platform (KRISP), QIB in the United Kingdom, and the Africa CDC facilitated the training of Zimbabwean scientists in genomic sequencing and bioinformatics analysis. It will be important to retain the trained staff through improving remuneration and working conditions and supporting continuous improvement towards building a resilient public health laboratory system capable of responding to future outbreaks.The COVID-19 response in Zimbabwe generated capacity and strengthened the public health laboratory system. However, the implementation of various strategies was not devoid of challenges. We propose recommendations to address some of the challenges and to maintain and improve existing capacity. Beyond the COVID-19 pandemic, a robust public health laboratory system will be important to address existing public health problems as well as respond to the next pandemic. 1)There is a need to maintain existing partnerships between the government and different local and international partners beyond the COVID-19 pandemic to enhance disease surveillance and cooperation in areas of public health interest. The government must maintain the existing partnerships with local private laboratories and research institutions to improve the overall surveillance and response efforts to disease outbreaks. The government through the DLS can play a role in supporting private laboratories to set up sustainable quality management systems with the goal of certification and accreditation. 2)The COVID-19 pandemic exposed the low capacity for genomic surveillance in Zimbabwe. There is an urgent need to invest in next-generation sequencing (NGS) platforms with high throughput and training of many laboratory cadres in performing sequencing and bioinformatics analysis of sequencing data [st century.Before the COVID-19 pandemic, several deficiencies characterized the public health laboratory system in Zimbabwe. For instance, there were a few PCR and sequencing platforms as well as trained and skilled personnel in the areas of sequencing and bioinformatics analysis. However, during the pandemic, a significant shift in the paradigm of strengthening the public health laboratory system occurred characterised by improved laboratory infrastructure, training of laboratory cadres, and setting up of QMS and participation in EQA programmes, decentralised Ag-RDT testing, and important partnerships between the government and various organisations. In the post-pandemic period, further gains in strengthening the public health laboratory system can be achieved by constant capacity building in molecular techniques training, bioinformatics analysis, and setup maintaining of quality management systems. The current experiences have strengthened the public health laboratory system in Zimbabwe and this has laid the foundation for a significant post-COVID-19 transformation so that the public health laboratory system can be better prepared to address existing public health problems and the next global threat(s) of the 21"}
+{"text": "Over the last two decades, imaging techniques have become irreplaceable tools in nanotechnology: electron microscopy techniques are routinely used to observe the structural features of newly manufactured nanoconstructs, while light and electron microscopy, magnetic resonance imaging, optical imaging, positron emission tomography, and ultrasound imaging allow dynamic monitoring of the biodistribution, targeting and clearance of nanoparticulates in living systems, either for the whole organism or at the level of single cells, tissues and organs .The first Special Issue, \u201cMolecular Imaging in Nanomedical Research\u201d, contained five research articles and two reviews on diverse imaging techniques applied to the development of novel nanoconstruct-based strategies for diagnosis and therapy . In thisChang and co-workers used polSu and co-workers aimed toMagnetic iron oxide nanoparticles are potential contrast agents for magnetic resonance imaging and magnetic particle imaging. Baki and co-workers modifiedWo\u017aniak and co-workers reviewedDopamine-related tracers are a powerful tool used to assess the status of presynaptic nigrostriatal terminals in the brain; Palermo and co-workers illustraAptamers are short, single-stranded, non-coding DNA or RNA nucleotides that specifically bind molecular targets and may be functionalized via radioisotope labeling for use as diagnostic and therapeutic agents. Due to their high specificity and adjustable binding affinities, aptamers targeting HER2 are promising agents in nuclear medicine for the early detection, diagnosis and potential treatment of HER2-positive breast cancer. In their review, Vi and co-workers describeAfter describing the concepts and characteristics of general optical coherence tomography systems, Wang and co-workers describeAmong the existing contrast agents for magnetic resonance imaging, smart nanoprobes that respond to selective stimuli may provide information on tissue and cell functional features. This subject was reviewed by Wang and co-workers , who focElucidating the interactions between the nanoconstructs and the biological environment is crucial in nanomedicine, and transmission electron microscopy provides direct evidence of the uptake and biodistribution of nanoparticles, as well as of their relationships with the cell and tissue components. My paper presentsOverall, this Special Issue confirms the key contribution of molecular imaging techniques, which support and foster the creativity and inventiveness of scientists engaged in nanomedical research."}
+{"text": "The magnitude and exceptional opportunity to research the psychological distress of shelter in place resulted in a publication frenzy on a smorgasbord of research studies of variable scientific robustness. Confinement, fear of contagion, social isolation, financial hardship, etc. equated to stratospheric stress levels. The decline in protective factors as a function of quarantine anecdotally reflected historic rates of anxiety and depression.In this study, we combined 12 variegate datasets and developed an algorithm to build a model to identify key predictors of pandemic-related stress with high accuracy and generalizability.This study reports on existing published data. We first describe the International and then the Italian dataset . The time-frame (first wave of lockdown), method (survey), measurement tool , and outcome measures were extremely similar to enable consolidation of datasets . The Flesia et al., (2020) data set was integrated into the Adamson et al., (2020) dataset as the first step towards data validation construction of the ML predictive model.We aim to demonstrate the strength of combining cross-cultural datasets, and the applicability of ML algorithms to facilitate the process and generate a predictive model that identifies and validates key predictors of pandemic-related stress and accommodates for interaction with demographic, cultural, and other mitigating factors while concurrently having high generalizability.We believe our model provides clinicians, researchers, and decision-makers with evidence to investigate the moderators and mediators of stress, and introduce novel interventions to mitigate the long-term effects of the COVID-19 pandemic.No significant relationships."}
+{"text": "Community-based treatment of possible serious bacterial infection (PSBI) in young infants, when referral to a hospital is not possible, can result in high treatment coverage and low case fatality. However, in Ethiopia, the coverage of PSBI treatment remains low, worsened by COVID-19. To understand the challenges of delivery of PSBI treatment and design and test adaptative strategies to mitigate the impact of COVID-19 on neonatal mortality, we did implementation research (IR) employing Implementation Research Logic Model (IRLM). In this paper, we describe IRLM application experiences in designing, implementing, and evaluating strategies to improve community-based treatment of PSBI during the COVID-19 pandemic in Ethiopia.This IR was conducted between November 2020-April 2022 at Dembecha and Lume woredas of Amhara and Oromia regions, respectively. We employed narrative reviews, formative assessment and facilitated stakeholder engagement to develop the PSBI treatment IRLM to identify barriers, understand the conceptual linkages among determinants, choose implementation strategies, elicit mechanisms, and link to implementation outcomes. In addition, we used the IRLM to structure the capture of emerging implementation challenges and resulting strategy adaptations throughout implementation.This IR identified COVID-19 and multiple pre-existing contextual factors. We designed and implemented implementation strategies to address these challenges. These adaptive strategies were implemented with sufficient strength to maintain the delivery of PSBI services and improve mothers\u2019 care-seeking behavior for their sick young infants.The IRLM offers us a clear process and path to prioritize implementation challenges, choose strategies informed by mechanisms of action, and where the adaptive implementation of community-based management of PSBI would lead to high-implementation fidelity and change in mother behavior to seek care for their sick young infants. The IRLM was also an effective tool for stakeholder engagement, easily explained and used to structure discussion and decision-making during co-design meetings.The use of the IRLM helps us to specify the conceptual links between the implementation challenges, strategies, mechanisms of action, and outcomes to explore the complex community-based management of PSBI during complex contexts to improve high-fidelity implementation and integration of PSBI treatment in the primary healthcare delivery systems through active engagement of stakeholders.The online version contains supplementary material available at 10.1186/s12913-022-08945-9. Possible serious bacterial infection (PSBI) was identified as a leading cause of mortality in young infants (0\u201359\u00a0days of age) in Sub-Saharan Africa, contributing to 37% of the 2.1 million neonatal deaths \u20136). The Ethiopia introduced community-based newborn care (CBNC) in its flagship Health Extension Program (HEP) to improve access to and use of appropriate treatment for neonatal sepsis when a referral was not possible in 2012 . HoweverThere is limited evidence of the level of impact of the COVID-19 pandemic on care-seeking for neonatal sepsis programs in Ethiopia. Implementation research (IR) was conducted between November 2020-April 2022 in Dembecha and Lume districts of Amhara and Oromia regions, respectively. The research was carried out by JSI Research & Training Institute Inc./The Last Ten Kilometers (L10K) Project, funded by the Bill & Melinda Gates Foundation. The aim was to understand the demand- and supply-side challenges of delivery of PSBI treatment during the COVID-19 pandemic and to develop and test adaptative strategies to mitigate the impact of COVID-19 and other barriers on community-based management of PSBI implementation and uptake. Implementation research is the scientific study of methods to promote the systematic uptake of research findings and other evidence-based practices into routine practice, to improve the adoption, high-fidelity implementation, and maintenance of quality, effective, evidence-based practices in health care services . The ImpIn this paper, we describe the use of the IRLM for stakeholder engagement and incorporate formative research to inform the design, implementation, and evaluation of strategies to improve community-based management of neonatal bacterial infection during the COVID-19 pandemic. The utilization of the IRLM in Ethiopia represents important insights into using this tool and IR to inform adaptive implementation, engaging key stakeholders, and generating generalizable knowledge to inform the broader, context-adapted implementation of PSBI treatment.This implementation research was conducted between November 2020-April 2022 in Dembecha and Lume woredas of Amhara and Oromia regions Fig.\u00a0 DembechaWe employed narrative review, formative assessment, and facilitated stakeholder engagement to develop the management of PSBI IRLM. The work was designed to articulate determinants, choose implementation strategies, and link these through mechanisms to targeted implementation outcomes. In addition, during the implementation phase, we captured ongoing implementation challenges and adaptations of strategies using a tracker. We applied the Framework for Reporting Adaptations and Modifications to Evidence-based Implementation Strategies (FRAME-IS) . We alsoIn April 2021, we conducted a narrative review of existing literature to quickly identify the overview of previously described barriers and facilitators of community-based management of PSBI implementation in Ethiopia. One author (GT) searched Google Scholar and PubMed for publications in English between 2012 to 2021, starting after the initiation of CBNC services in Ethiopia. Search terms used included: possible serious bacterial infection, community-based management of newborn illnesses, neonatal sepsis, uptake, utilization, barriers, facilitators, determinants, and Ethiopia. The title or abstract of the article was downloaded. The Preferred Reporting Items for Systematic Reviews and Meta-Analyses (PRISMA) diagram frameworWe conducted a cross-sectional population-based household survey of 4,242 mothers who gave live birth 2\u201314\u00a0months before data collection and resided in the two woredas. Survey captured information including household and sociodemographic characteristics, experiences related to using maternal and newborn health services across the continuum of care, care-seeking for sick infants and children, and Knowledge and risk perception of COVID-19. A structured questionnaire translated into local languages (Amharic and Oromiffa) was used to capture the data using a web-based mHealth platform (SurveyCTO) using smartphones , development partners (4), direct service providers (16), and community volunteers (8). The interview guide was designed using CFIR to understand what factors facilitate or hinder community-based management of PSBI implementation, including characteristics of the health system, intervention, individual, inner, and outer settings.We engaged stakeholders throughout the research process as a keystone of our implementation research in the selection, prioritization, and operationalization of tailored and appropriate implementation strategies to improve the adoption, implementation, and sustainment of community-based management of PSBI. For this purpose, we followed a rigorous and thoughtful development process to systematically plan for the implementation strategies by facilitating a national stakeholder consultation which expanded on adapted expert recommendations for implementing change (ERIC) protocol employinFollowing the formative assessment and exploration of potential strategies from the literature, we developed an initial IRLM. Then, we conducted a national co-designing workshop on May 11\u201312, 2021. The workshop involved the Ministry of Health (MOH), National Child Health Technical Working Group, including program managers and development partners; it also included the National RMNCH-N Research Advisory Council Child Health and Immunization group, including their program managers, academics, researchers, and development partners. The workshop also included development partners active in neonatal care in Ethiopia. The workshop\u2019s primary aim was to share the assessment findings and design tailored solutions to address implementation challenges.On the first day, the research team presented an overview of implementation research and formative assessment findings, followed by a discussion on the barriers to community-based management of PSBI implementation. On the second day, the research team presented the draft IRLM, including the identified determinants and preliminary implementation strategies from the literature. Next, the team facilitated a group process of identification and prioritization of implementation strategies. The research team then populated the determinants and strategies of the IRLM raised through an iterative discussion with stakeholders and used the matrix to understand the conceptual links between determinants, implementation strategies, mechanisms, and outcomes.In the last week of May 2021 and the first week of June 2021, we conducted a woreda-level co-creation workshop with regional health bureaus, zonal health departments, woreda health offices, facility-level managers, service providers, kebele managers, and HEWs. Through the co-creation workshop, L10K and participants contextualized and validated the nationally co-designed implementation strategies, identified additional local contextual community-based management of PSBI implementation challenges that had not been captured during the national co-design phase, designed relevant strategies, and developed micro-plans to improve PSBI treatment implementation. All HPs and health centers in the two implementation woredas developed micro-plans. of childhood illnesses and newborn care, particularly for sick young infants (SYI). A higher proportion of mothers who resided in Dembecha (11%) compared to Lume woredas (5%) reported symptoms of severe neonatal infection in their infants. Communities in Dembecha demonstrated lower care-seeking behavior compared to Lume woreda, with only 52% of mothers receiving antibiotics for neonatal sepsis there compared to 70% of mothers in Lume. Most women sought care for their SYI at health centers and bypassed the HPs. Additionally, the following pre-existing factors were identified as external barriers to the delivery of PSBI treatment: phase-out of partner support, low community care-seeking behavior, negative community attitudes toward services for neonatal illness and PSBI, lack of community trust in HEWs\u2019 capacity to manage PSBI, and low functionality of organized female community volunteers called Women Development Armies (WDAs).The following characteristics were identified as barriers to HEW management of PSBI implementation: lack of competency and confidence in their PSBI knowledge and skills; lack of training, mentoring, and coaching; low motivation, attendance, and engagement regarding PSBI care implementation; competing workload and engagement in non-health activities; and fear of contracting COVID-19. In Dembecha, HEW knowledge of all PSBI signs was lower than in Lume, with 33% and 41%, respectively. Likewise, a higher number of HEWs untrained in the basics of PSBI were identified in Dembecha compared to Lume.Process: The formative assessment, as well as the stakeholder consultation, identified the following implementation process barriers to PSBI care: poor integration of management of PSBI services in the woreda health system, weak coordination, ownership, and stakeholder engagement, and a weak culture of learning.Previous implementation research on the management of PSBI when referral was not feasible conducted in Ethiopia, Malawi, Nigeria, Bangladesh, Pakistan, and India identified several strategies critical to supporting effective implementation at the individual, community, facility, and systems levels. At the individual and community level, these included: training health care workers, in-field technical support, performance reviews , and comDuring the stakeholder engagement, based on the formative assessment and narrative review findings, we grouped major management of PSBI implementation challenges that existed before COVID-19 and were exacerbated by the pandemic into the following categories: 1) low competency, confidence, and motivation of HEWs; 2) weak primary health care system; 3) suboptimal community engagement; 4) other systemic factors ; and 5) weak coordination and integration. We also presented results from the literature review and formative assessment. In consultation with stakeholders, we adopted and adapted a number of the strategies from the literature and developed new ones, including reflecting on COVID-19 -related challenges to enhance the adoption, acceptability, and high-fidelity implementation of community-based management of PSBI interventions, with the aim of further integration and scale up.As presented in Table Using the IRLM, we described the mechanisms of action that the proposed strategies would operate to influence the desired outcomes. For example, building the organization's capacity for better integration, coordination, and stakeholder engagement would lead to strong district-level operational management and high-fidelity intervention delivery during/after study to maintain strategies. Adoption of the strategies, training and supportive supervision increased skills and interest in delivering PSBI treatment effectively and with higher fidelity. It also strengthened referral systems, addressed community knowledge and fears while increasing fidelity, effectiveness, and adoption Fig.\u00a0.Fig. 3ThReach: number of newborns identified and visited by community health workers, percentage of treatment coverage, and percentage of referral refusal; Effectiveness: recovery, and case fatality rate; Fidelity: percentage of patient adherence to antibiotic treatment, percentage of patients who received follow-up care, percentage of classification errors, and percentage of patients who received correct antibiotic; Acceptability: number of parents/family who refused referral but accepted community-based PSBI treatment, barriers and facilitators of acceptability and care-seeking, percentage of PSBI cases who accepted the referral, and rate of adherence to outpatient treatment. We developed a matrix of indicators and data sources for adaptive implementation of PSBI treatment during COVID-19 in Ethiopia from 42 HPs reported participation in at least one PHCU level PRCMM in the last six months HPs treated at least one sick young infant in the previous six months, significantly improving from 36% in the last six months.During implementation, we tracked ongoing implementation challenges and adaptive strategies. We used the IRLM framework to capture these emerging or persistent challenges and adapted strategies to articulate the mechanisms of action and link them to outcomes Fig.\u00a0.During the implementation, adaptive implementation strategies were also incorporated, including facilitating the redistribution of gentamicin 20\u00a0mg/ml, intensifying the support and monitoring visits, and increasing offsite PSBI treatment training of HEWs and their supervisors at HPs in Dembecha. Due to the civil war in the northern part of the country, a regional emergency decree was issued on October 31, 2021, halting the regular services of public institutions. This subsequent shift in attention and resources away from the management of the PSBI program emerged as a challenge in Dembecha. We provided one round of supervision when the national and regional situations improved. The district health office conducted monitoring visits, performance reviews, and corrective measures to reestablish prior support for community-based management of PSBI services and strengthen their implementation.In the Lume district, NGO support for maternal and child health was identified as a facilitator for the management of PSBI service during implementation. In addition, the MOH introduced a digital version of the PSBI/iCCM module into the electronic Community Health Information System (eCHIS) in Lume in August 2021. The eCHIS was developed to replace the paper-based information system, a family folder containing household information, registration for incoming and leaving household members (member registration), data regarding service provision, and referral services rendered. The eCHIS incorporated job aids to support service provision, improve quality of care, and improve data use for decision-making. As such, digitization of the PSBI/iCCM treatment module aided HEWs as a decision support tool. It also facilitated digital referral, identification, and registration of newborns and SYI in the app during household visits, leading to improved delivery of community-based management of PSBI services Table .Table 5AWe successfully employed implementation research frameworks in designing, implementing, and evaluating the adaptive implementation of PSBI treatment during COVID-19 in Ethiopia. The RE-AIM and CFIR frameworks were used to design the COVID-19 pandemic that needed to be addressed to improve the reach, adoption, fidelity, and uptake of community-based management of PSBI services. In addition, we populated an initial IRLM. We used the framework to meaningfully engage stakeholders to systematically develop, identify, categorize, and prioritize implementation strategies to address identified and newly emerged barriers. We found that using an increasingly used framework, which combines CFIR and RE-AIM using concept mapping, effectively identifies strategies by integrating existing evidence and stakeholder engagement and expertise.The learnings demonstrated the unprecedented challenges of the COVID-19 pandemic, and the pre-existing health system-level barriers exacerbated the fragile community-based management of PSBI in Ethiopia. Previous studies revealed significant service disruptions in outpatient care and child vaccinations ; a decliUsing implementation research methods to inform the evidence synthesis using narrative review and formative assessment helped us better identify the challenges and provide an initial understanding of the conceptual links between determinants, implementation strategies, mechanisms, and outcomes. The use of concept mapping is essential in informing the choice of implementation strategies and is associated with more effective implementation , 37. StaThroughout our implementation research, we employed IRLM and expanded the adapted ERIC protocol and concept mapping technique to engage stakeholders to gain insights and clarity for developing the PSBI IRLM. This allowed for the systematic planning and application of the community-based management of PSBI implementation strategies that consider determinants, mechanisms, and outcomes. Consequently, we bridged implementation gaps by selecting strategies that improved the implementation process, increased adoption, and sustained effective intervention uptake . CurrentThe IRLM enabled the development of adaptive implementation strategies based on an in-depth understanding of the barriers and facilitators. The application of the framework also allowed us to identify implementation challenges, strategies, and mechanisms of action for adaptive implementation of PSBI treatment to increase implementation fidelity, reach, and adoption. Furthermore, these adaptive implementation strategies elucidated changes in the care-seeking behavior of mothers for their sick young infants. IRLM helped guide the measurement of the activities, intermediate outputs, and outcomes and synthesizing lessons from implementation.During implementation, we tracked ongoing implementation challenges and adaptive strategies, using the IRLM framework to conceptualize the mechanisms of action and outcomes. We also employed this framework to document the implementation learnings and share them with the broader community. This allowed us to examine what happened during the implementation and accurately report the hypothesized relationships we observed. For instance, the digital version of the iCCM module, which is a mobile health solution for HEWs that incorporates job aids\u2014 to counsel mothers on essential newborn care and educate them on danger signs of PSBI, assess newborns for possible signs of infection, diagnosis, treat and counsel mothers to adhere to treatment protocols\u2014improved the delivery of PSBI treatment. Specifically, it facilitated identifying and registering newborns and sick young infants and aided clinical and referral decisions and adherence to PSBI treatment protocols. This is in contrast to the responses from the data in Dembecha, where the iCCM module was not incorporated into eCHIS and where few or none of the above advantages from eCHIS were reported. At the same time, close monitoring and timely corrective measures to address emerging contexts like the effect of civil war are critical.We continued using this framework to share examples of our work in the cross-country community of practice with the community-based management of PSBI Kenya and India teams to cross-map implementation strategies, adaptations, mechanisms of action, and implementation outcomes. We also explored efficient ways to capture contextual factors to build on our IRLM to inform the management of PSBI work at scale. This has informed our continued work across country projects to identify areas that could benefit from standardized processes, approaches, methods, and metrics.Despite our efforts of exploring all possible challenges, co-designing and implementing strategies with active engagement of stakeholders, capturing ongoing challenges, and adapting strategies throughout the implementation period, we might not include all possible barriers affecting the community-based management of the PSBI program in the model. In addition, some of the determinants of this study may have been affected by social desirability and recall biases which would, in turn, affect the logical links between each component of the IRLM. Though the IRLM provides formats for a standard IR study that include multiple contexts and comparative implementation, it doesn\u2019t explicitly show how to synthesize and report implementation outcomes across various contexts to compare variations in implementation processes and influences across contexts for understanding what works for whom, and how .In conclusion, we found that the IRLM used in this research helped us organize the formative work and facilitate stakeholder engagement to specify the conceptual links between the implementation challenges, strategies, mechanisms of action, and outcomes to design and strengthen the management of the PSBI program under complex contextual factors, including COVID-19, as well as an existing health system and community barriers. The capturing of ongoing implementation challenges and document modifications of strategies during implementation allowed us to update the IRLM to provide better generalizable knowledge on adapting and implementing management of PSBI in similar and different settings.The participatory design and implementation of adaptive COVID-19 strategies effectively maintained the quality delivery of PSBI treatment during the pandemic. These approaches effectively engage community volunteers, HEWs, and the primary health care system and better integrate PSBI treatment for sustained implementation and scale up. Continuous support and feedback systems, continuous supply of essential drugs, and strategies to alleviate HEWs\u2019 workload to deliver quality services should be prioritized.Additional file 1.Additional file 2.Additional file 3.Additional file 4.Additional file 5.Additional file 6."}
+{"text": "Driven mostly by an aging population, the utilization of spine surgery has increased exponentially over the last decades . ChronicPatient-centered care and the use of multidisciplinary collaborations inside and outside of the operating room is a cornerstone of safe and effective management of spinal disorders. Multiple studies have shown the benefits of multidisciplinary case conferences, tumor boards, and shared-decision making in the management of these conditions ,10. NaidThe second strategy to improve safety and outcomes includes the use of advanced techniques and enabling technologies. Anand et al. reported a 13-year experience treating severe adult spinal deformity with minimally invasive circumferential strategies without posterior osteotomies ,15. EchtThe third aspect that will most likely improve the safety and outcome of complex spine surgery is the use of advanced predictive analytics, particularly artificial intelligence. Machine and deep-learning algorithms can offer high predictive capability and can aid in complication prediction, survival prediction, and the identification of high-risk patients ,17,18,19The field of spinal surgery is rapidly changing and we must adapt to it. As specialists dealing with such complex conditions, we must focus on providing humanized and personalized high-quality care to our patients. The use of the approaches described herein will most certainly help us achieve that."}
+{"text": "Urban production energy consumption produces a large amount of carbon emissions, which is an important source of global warming. This study measures the quantity and intensity of carbon emissions in 30 provinces of China based on urban production energy consumption from 2005\u20132019, and uses the Dagum Gini coefficient, kernel density estimation, carbon emission classification and spatial econometric model to analyze the spatial and temporal distribution and driving factors of quantity and intensity of carbon emissions from China and regional production energy consumption. It was found that the growth rate of carbon emission quantity and carbon emission intensity of production energy consumption decreased year by year in each province during the study period. The imbalance of carbon emission was strong, with different degrees of increase and decrease, and there were big differences between eastern and western regions. The classification of carbon emissions differed among provinces and there was heterogeneity among regions. The quantity and intensity of carbon emissions of production energy consumption qwre affected by multiple factors, such as industrial structure. This study provides an in-depth comparison of the spatial and temporal distribution and driving factors of quantity and intensity of carbon emissions of production energy consumption across the country and regions, and provides targeted policies for carbon emission reduction across the country and regions, so as to help achieve China\u2019s \u201cdouble carbon\u201d target quickly and effectively. The massive emission of greenhouse gases has led to an increase in global temperature and an accelerated frequency of extreme hot weather, which has seriously damaged ecological health , and hasAs a region where human activities are concentrated, China has seen a significant increase in carbon emissions due to the production of various industries in the process of urbanization and industrialization, and the contradiction between economic development and resource consumption and environmental pollution problems has become more and more prominent ,13,14,15There are many factors affecting carbon emissions, mainly in economic development, energy use, population structure, urban development, etc. Relevant studies show that China\u2019s carbon emissions have a strong correlation with the level of economic development, and China\u2019s industrial carbon emissions show an inverted U-shaped non-linear relationship with the level of economic development . MeasuriThe influence of different indicators on carbon emissions shows the diversity of carbon emission pathways, and in the process of economic and social development, large consumption of energy is one of the important sources of carbon emissions. Existing study shows that energy consumption and carbon emissions show a certain spatial correlation , and theIn addition, scholars have conducted a lot of research on the regional nature of carbon emissions. Chen et al. (2022) used the Theil index and the Moran index to conduct spatial analysis of China\u2019s carbon emission intensity and found that the spatial differences of carbon emission intensity from 2000 to 2019 were obvious, mainly intra-regional, with significant spatial correlation and local agglomeration characteristics . Yang etIn general, the existing studies on carbon emissions are rich, but there are still certain shortcomings. Firstly, existing studies have deeply analyzed the relevant influencing factors of carbon emissions, which can clearly sort out the theoretical relationship between carbon emissions and related influencing factors. However, carbon emissions have a spatial nature, and current studies lack discussion on the spatial relationship between carbon emissions and their influencing factors. Secondly, carbon emissions in China come from a wide range of sources, and carbon emissions from energy consumption are a key source in the process of industrialization and urbanization in China, so research on carbon emissions from energy consumption is necessary, and most existing studies have been conducted on carbon emissions from energy consumption. Energy consumption can be divided into rural energy consumption and urban energy consumption, and the corresponding urban energy consumption is divided into production energy consumption and domestic energy consumption. A more detailed division of energy consumption sources and the study of its carbon emission nature and influencing factors can propose more targeted energy saving and emission reduction policies. Thirdly, carbon emissions are spatially imbalanced, but the degree of imbalance and how it evolves still need to be measured and analyzed further in order to clarify the regional differences and spatial distribution characteristics of carbon emissions. Based on the above three analyses, this paper decided to measure the carbon emission quantity and carbon emission intensity of urban production energy consumption, and analyze the spatial and temporal distribution of carbon emissions and the driving factors. The carbon emissions of urban production energy consumption refer to the carbon emissions generated by the energy consumption of production activities in industries, raw materials and materials, construction, transportation, storage, postal services, wholesale and retail trade, and accommodation and catering, in addition to agriculture. After measuring carbon emission quantity and carbon emission intensity, the national and regional imbalance and spatial distribution characteristics of carbon emissions from urban production energy consumption were further measured and analyzed using the Dagum Gini coefficient and its decomposition and kernel density estimation, and, finally, the driving factors of carbon emissions and the regional heterogeneity of the driving factors were investigated using spatial econometric models. The results of this paper aim to provide quantitative support for the formulation of national and regional carbon emission reduction policies, so as to achieve China\u2019s \u201cdouble carbon\u201d target quickly and effectively.In this paper, the carbon emission quantity and carbon emission intensity of urban production energy consumption were used to measure the regional carbon emission level, and the carbon emission quantity of urban production energy consumption was calculated using energy in industry, raw materials and materials, construction, transportation, storage, postal industry, wholesale, retail trade, accommodation, catering production and other end consumption.At present, there are many accounting methods for carbon emissions from energy consumption, including the IPCC measurement method, field measurement method and model estimation method . In thisiE is the energy consumption, iNCV is the average low level calorific value of the fuel, iEF is the carbon content per unit calorific value of the fuel, iO is the oxygen content, and 44/12 is the conversion factor for converting C to 2CO.In Formula (1), The carbon emission intensity of urban production energy consumption is the carbon emission of urban production energy consumption per unit of GDP. The calculation formula of carbon emission intensity is as follows:In Formula (2), secondary industry refers to the mining industry (excluding mining auxiliary activities), manufacturing , electric power, heat, gas and water production and supply industry, and construction industry. The third industry, or tertiary industry, refers to the service industry, including wholesale and retail, transportation, warehousing and postal services, accommodation and catering industries, etc.The Gini coefficient and its decomposition are important methods to study regional differences, and the sample is divided into three parts: between-group differences, within-group differences and hyper-variance density to explore regional differences and their sources in depth ,52. In tk is the number of research subjects grouped. In this paper, it was divided into three regions: eastern, central and western China, containing a total of n research subjects. The values ijy and mry are the carbon emission levels of the j(r)th province in the i(m)th research region, and \u03bc is the average value of carbon emissions of all provinces.The value The intra-regional Gini coefficient measures the difference in carbon emission levels within each region, and the inter-regional Gini coefficient measures the difference in carbon emission levels between regions. The specific formulae are as follows:iiG is the intra-regional Gini coefficient, imG is the inter-regional Gini coefficient, in (m) and i\u03bc (m) are the number of research objects in region i (m) and the mean carbon emission level of provinces in region i (m).The overall Gini coefficient is decomposed to further measure the contribution of intra-regional differences, inter-regional differences and supervariable density to the overall differences. The formulae are as follows:wG, nbG and lG are the intra-regional, inter-regional and hypervariable density difference contributions, respectively. imD is the relative impact of carbon emission levels between regions i and m, imd is the difference in carbon emission levels between regions i and m, i.e., the mathematical expectation of the sum of all sample values of ij \u2212 ymry > 0 in regions i and m, and imp is the hypervariable first-order matrix, i.e., the mathematical expectation of the sum of all sample values of ij \u2212 ymry > 0 in regions i and m.Kernel density estimation is an important nonparametric estimation method, which can further explore the absolute differences and dynamic evolution of regional carbon emissions ,54. In tiy is the carbon emission level of province i, p is the sample size, h is the bandwidth, and K is the Gaussian kernel function.To explore the changes of carbon emission levels of urban production energy consumption and their carbon emission types from 2005 to 2019, the carbon emissions of urban production energy consumption were divided into four categories, namely high-high (high carbon emission quantity-high carbon emission intensity), high-low (high carbon emission quantity-low carbon emission intensity), low-high (low carbon emission quantity-high carbon emission intensity) and low-low (low carbon emission quantity-low carbon emission intensity), using the average value of carbon emission quantity and carbon emission intensity as the measure. Those above the average value were high carbon emissions, and those below the average value of carbon emissions were low carbon emissions.It is considered that the carbon emission level of urban energy production consumption in provincial in China may have the characteristics of spatial correlation. This paper proposed to test the drivers of carbon emission levels of production energy consumption in towns using the spatial error model (SEM), spatial lag model (SLM) and spatial Durbin model (SDM). The spatial correlation of carbon emission levels of urban production energy consumption in China was tested using the global Moran index . If the (1)Spatial error model (SEM)(2)Spatial lag model (SLM)(3)Spatial Durbin Model (SDM)i, j represents a province, t represents the year, itCE is the carbon emission level of the ith province in year t, \u03b2 is the coefficient of the explanatory variable, i\u03bc is the individual fixed effect, t\u03b7 is the time fixed effect, w is the spatial weight matrix, \u03bb is the spatial error term coefficient, \u03c1 is the spatial autocorrelation coefficient, x is the explanatory variable, and \u03b3 is the coefficient of the explanatory variable of the neighboring province affecting the home province.In the formulae, In this paper, the spatial weight matrix used the adjacency space weight matrix, and the neighborhood under the spatial structure was represented by 0 and 1. If the spatial units had a non-zero common boundary, they were considered to be spatially adjacent and represented by 1; otherwise, they were considered to be non-spatially adjacent and represented by 0.The driving factors of carbon emissions from urban production energy consumption are complex. In this paper, 11 explanatory variables were selected for analysis from five dimensions as the driving factors of carbon emissions from urban production energy consumption: urban economic level, living standard of urban residents, urban energy consumption level, urban population size and urban development level.(1)Urban economic level. The transformation of industrial structure can be realized through the upgrading of industrial structure and the rationalization of industrial structure to reduce carbon emissions, so industrial structure is an important influencing factor of carbon emissions ,58. Fore(2)Living standard of urban residents. Wen and Zhang found that per capita disposable income has a significant impact on carbon emissions . Therefo(3)2 emissions, and the proportion of coal consumption to total energy consumption was used to measure the energy consumption structure.Urban energy consumption level. Studies have shown that the high proportion of coal consumption in China directly determines the energy consumption structure, which, in turn, is the driving factor of carbon emissions . Therefo(4)Urban population size. As the main body of economic development, the population structure has a profound impact on carbon emissions. Labor force and dependency ratio are important demographic indicators, and have significant space differences in the impact of carbon emissions . In addi(5)Urban development level. Studies have shown that the green coverage of built-up areas has a significant impact on provincial carbon emissions in China . The spaThe urbanization rate was measured by the proportion of urban population in the total population, and the education level was measured by the average years of education: number of primary school students *6+ number of junior middle school students *3+ number of senior high school students *3+ number of junior college students and above *16/number of people aged 6 and above. Technological innovation was measured by the turnover of the technology market. The original data of all the explanatory variables were obtained from China Statistical Yearbook and China Energy Statistical Yearbook from 2005\u20132019, and individual missing data were completed using the trend prediction method and interpolation method. The abbreviations, definitions, and data sources for variables are shown in The carbon emission level of production energy consumption varies widely among different regions, and this paper divided China into three study regions: the eastern region, including Beijing, Tianjin, Hebei, Liaoning, Shanghai, Jiangsu, Zhejiang, Fujian, Shandong, Guangdong, and Hainan; the central region, including Shanxi, Jilin, Heilongjiang, Anhui, Jiangxi, Henan, Hubei, and Hunan; the western region, including Inner Mongolia, Guangxi, Chongqing, Sichuan, Guizhou, Yunnan, Shaanxi, Gansu, Qinghai, Ningxia, Xinjiang. The study area is shown in The results of calculating carbon emissions of urban production energy consumption in inter-provincial in China from 2005 to 2019 showed that carbon emission levels have obvious spatial distribution characteristics . Carbon (1)Overall differencesIn order to explore in-depth the overall regional differences and sources of carbon emissions from urban production energy consumption, this paper used the Dagum Gini coefficient and its decomposition to calculate the overall Gini coefficient of carbon emissions and further decomposed this to measure the Gini coefficients of eastern region, central region and western region.The overall difference of carbon emission quantities is shown in (2)Intra-regional differencesThe intra-regional differences in carbon emission quantity and their evolution trends are shown in Since 2012, the intra-regional difference in carbon emission quantity in the central region decreased, while the intra-regional difference in carbon emission quantity in the western region increased, so that the intra-regional difference in the western region was much higher than in the central region by 2019. As shown in (3)Inter-regional differencesThe inter-regional differences in carbon emissions and their evolution trends are shown in Based on the Dagum Gini coefficient and its decomposition, the overall differences and evolution trends of carbon emission levels were analyzed, and the relative differences of regions were identified. In order to further study the dynamic distribution characteristics of carbon emission levels and absolute regional differences, this paper used Kernel density estimation to study the overall pattern and dynamic evolution of carbon emission distribution in China and each region. Matlab software was used to draw a three-dimensional perspective view of carbon emission levels in China and each of its regions from 2005 to 2019.(1)The evolution of carbon emission quantity dynamicsAs shown in The above analysis showed that the imbalance of carbon emission quantities in China deepened, and there was a trend of polarization, with large differences between regions and an increasing trend of differences between provinces within each region. The largest differences between provinces were within the eastern region, followed by the central region, and with polarization within the western region, but the polarization was gradually decreasing.(2)The evolution of carbon emission intensity dynamicsAs shown in The above analysis showed that the imbalance of carbon emission intensity of urban production energy consumption in the country weakened, but the deepening of the polarization phenomenon indicated an obvious gradient effect. Compared with the eastern region and western region, the central region had the weakest imbalance, followed by the eastern region, and the western region had the strongest imbalance. The emergence of side peaks in the eastern region and central region also showed a certain polarization phenomenon. There was an obvious gradient effect, namely most provinces\u2019 carbon intensity decreased obviously and became gradually numerically close, but there were still some provinces where the decrease in carbon emission intensity was small and there was a large gap with the carbon emission intensity in most provinces, so the phenomenon of multi -polarization was generated.The carbon emission classification of urban production energy consumption inter-provincially is shown in In the previous section, the analysis of carbon emission levels of urban production energy consumption inter-provincially found that there were significant spatial distribution characteristics. In order to further explore the strategies to reduce the carbon emission levels of production energy consumption, it was necessary to conduct an in-depth study of the driving mechanism. By calculating the global Moran\u2019s I index of carbon emissions for spatial correlation analysis , it was As shown in Carbon emission intensity was also affected by multiple factors, as shown in The results of the analysis of carbon emission driving factors of urban production energy consumption in the three major regions of China are shown in As can be seen from In order to test the feasibility and robustness of the research results, this article adopted a replacement indicator method for a robustness test. The per capita disposable income of important indicators was replaced by per capita consumption expenditure. The robustness test results are shown in the This study measured the carbon emission levels (carbon emission quantity and carbon emission intensity) of urban production energy consumption in inter-provincial areas in China based on data from 2005\u20132019. The study measured and decomposed the overall regional differences in carbon emission levels using the Dagum Gini coefficient, analyzed the dynamic characteristics of the distribution of carbon emission levels and absolute regional differences using the Kernel density estimation method, and used a spatial econometric model to analyze the driving factors of carbon emission levels in the whole region and three regions . The main research findings are as follows.First, the carbon emission quantity increased year by year during the study period, but the growth rate decreased, and the carbon emission intensity had an obvious decreasing trend. Besides this, the carbon emission quantity and carbon emission intensity showed obvious spatial differences, i.e., the carbon emission quantity showed the characteristic of eastern region > central region > western region, while the carbon emission intensity, on the contrary, showed the characteristic of western region > central region > eastern region, and the spatial characteristics were more obvious as time went on.Second, the overall difference of carbon emission quantity showed a decreasing trend. The intra-regional difference of carbon emission quantity evolved from eastern region > central region > western region to eastern region > western region > central region, and the overall difference of carbon emission intensity showed an increasing trend, and the intra-regional difference of carbon emission intensity was always western region > eastern region > central region. The imbalance of carbon emission quantity increased in the country, and the imbalance of carbon emission quantity increased in different degrees in the eastern region, central region and western region. There was a significant gradient effect in the carbon emission intensity, and there was also a trend of multi -level differentiation in the provinces in various regions. From the perspective of carbon emission classification, the inter-provincial carbon emission classification had some changes from 2005 to 2019, but most of the carbon emission provinces were in the low-low category.Third, carbon emission level was influenced by multiple factors, among which carbon emission quantity was mainly influenced by industrial structure, per capita disposable income, energy consumption structure, urbanization rate, cultural level, scientific and technological innovation. Carbon emission intensity was mainly influenced by industrial structure, foreign direct investment, energy consumption structure, the dependency ratio of elderly population and scientific and technological innovation. Different regions had heterogeneity, and the level of driving factors was different. Industrial structure, per capita disposable income, energy consumption structure, urbanization rate were the important driving factors of regional carbon emissions.Based on the above findings, this paper proposes the following recommendations to reduce carbon emissions from urban production energy consumption in China, to promote the achievement of carbon peaking and carbon neutral goals, and to realize green and sustainable economic and social development.2 emissions [First, on a national scale, the energy consumption structure has more room for transformation. On the one hand, China\u2019s natural resource profile of \u201ccoal-rich and oil-poor\u201d has influenced the energy consumption structure, so China\u2019s current production energy consumption is still coal-based fossil energy, which leads to a large amount of COmissions . On the missions . AdjustiSecondly, the regional differences should be balanced to achieve dual balance between carbon emission quantity and carbon emission intensity. The regional differences in carbon emission quantity and carbon emission intensity of urban production energy consumption reflect imbalance in intra- and inter-regional economic development and energy utilization. The eastern region as a whole has a relatively developed economy and higher technology level, but its internal imbalance is also stronger. Therefore, important provinces in the eastern region, such as Shanghai and Zhejiang, should actively play the role of central cities to strengthen the economic and technological radiation to the surrounding areas, improving the economic levels of the surrounding provinces while reducing the differences in the level of carbon emissions of production energy within the region. The eastern region should give full play to its advantages in high and new technology, and transport technical talents to the central region and western region, so as to provide important support for the industrial development and upgrading of the central region and western region. The difference of carbon emission level and economic development within the central region is smaller, therefore, as an important hub between the eastern region and western region, the central provinces should play a good role as a mediator, while maintaining a stable and positive development. The western region should pay more attention to economic construction and low-carbon development of secondary and tertiary industries, while industrial structure transformation is crucial to strengthen the upgrading of low-end manufacturing industries to high-end manufacturing industries, accelerate the transfer from labor and capital-intensive industries to high-tech-intensive ones, and narrow the economic differences with the eastern region and central region, so as to reduce the carbon emission intensity of production.Finally, the construction of new urbanization should be strengthened. The increase of urbanization rate has significant heterogeneity for regions, and the urbanization rate is higher in the eastern region and central region at the present stage. Further increasing the level of urbanization rate will raise the level of production of carbon emissions, so the transformation of new urbanization should be accelerated, and new urbanization should play an important role in revitalizing the economy, while being a key step in the coordinated development of economic and ecological environments . Therefo"}
+{"text": "Pregnant women frequently use prenatal screening and diagnostic tests to detect fetal structural and chromosomal anomalies; however, the regulation and financing of these examinations differ substantially across countries. In this paper we focus on the provision, financing and setting of the following tests in selected European countries: First Trimester Screening (FTS)/Combined Test (CT), Non-invasive Prenatal Test (NIPT), second-trimester ultrasound screening for fetal anomalies, amniocentesis/chorionic villus sampling.We chose 6 European countries that differ in various criteria to illustrate the range of possible regulations and forms of funding: Germany, Switzerland, Netherlands, United Kingdom, Norway, Italy. We conducted a comprehensive hand search and consulted experts from the 6 countries using a questionnaire.The results are based on 11 completed expert questionnaires and 22 published sources. The heterogeneity of the provision, regulation and financing of the tests concerns in particular the choice of the first-line screening test for fetal trisomies , the implementation of the NIPT, the reimbursement of the tests, the uptake of the examinations, but also the professional groups responsible for antenatal care . There are some similarities between countries, e.g., concerning the provision and financing of invasive tests and of the ultrasound screening for fetal anomalies in the second trimester.The results highlight the significant heterogeneity between European countries regarding prenatal screening and diagnostic testing for fetal anomalies. Due to the many ethical aspects of the topic, a broad societal discourse with the relevant interest groups and stakeholders seems to be necessary. Decision-makers should pay particular attention to high-quality and non-directive counselling.European countries take different approaches to offer and fund prenatal screening and diagnostic tests for fetal anomalies.The implementation of screening strategies should focus in particular on the importance of high-quality counselling to enable informed decision-making."}
+{"text": "Working conditions at universities are often considered precarious. Employees complain of fixed-term contracts and extensive unpaid overtime . Studies from various fields of work show that occupational groups with a high workload suffer particularly from a conflictual compatibility of work and family.The aim of this study was to assess the WFC in the context of working conditions.N=844 university employees were asked about the burden of work/life balance using Work-family-conflict (WFC) - Family-work-conflict (FWC) -Scales (Netemeyer 1996). The dichotomously formulated question on overtime worked was supplemented by a five-step scaled item on the burden of overtime. The correlation analyses were calculated according to Spearman.Overtime performed by 83% of the total sample and 64% feel burdened by it. 95% of the scientists and physicians, 68% of the administrative staff, 63% of the service providers work overtime and 90% of the physicians and 72% of the scientists feel burdened by it. Significantly high correlations were found between the burden of overtime and the conflict of compatibility. The higher the burden of overtime, the higher the WFC and FWC. The highest correlation was found among physicians (r=.649), followed by scientists (r=.533), administration (r=.451), services .The additional work and strain caused by this, as well as the connections with the problem of compatibility, show need for action for employers regarding the working conditions of physicians and scientists. Especially with regard to reducing overtime and improving the compatibility of work and family."}
+{"text": "This symposium engages diverse methods and analyses to discover and reimagine possibilities for individuals aging with and into disability. The presentations advance an understanding of the diversity of service/care needs as well as of social capital, with exploration into assistive technologies, educational attainment, and assessment of successful aging. In the first presentation, the authors delineate key informant interview data identifying capacity-building needs in professional skills, organizational operations, service/care models, and public policies to effectively serve older adults aging with and into disability. The second presentation offers a content analysis of how researchers conceptualize, measure, and apply social capital to developmental disability throughout the life course, reviewing peer-reviewed articles from 5 disciplines, across more than 20 years. In the third presentation, using National Health and Aging Trends Study data, the authors investigate the longitudinal associations between disabilities, assistive technologies, and subjective well-being among older adults. In the fourth presentation, the author uses multivariate regression analysis to analyze National Health Interview Survey (NHIS) data, building on prior research analyzing the association between educational attainment and the perceived need for future help with activities of daily living (ADLs), often measuring disability in the literature. In the fifth and final presentation, the authors use the National Health & Aging Trends Study data to understand successful aging from the perspectives of those who experience disability, integrating subjective components of self-rated health and well-being, and providing insights on subjective perceptions on successful aging among older adults with disabilities."}
+{"text": "The food supply chain operates in a complex and dynamic external environment, and the external uncertainties from natural and socio-economic environment pose great challenges to the development of the food industry. In particular, the COVID-19 pandemic and Russia\u2013Ukraine conflict have further exacerbated the vulnerability of the global food supply chain. Analyzing the dynamic impacts of external uncertainties on the stability of food supply chain is central to guaranteeing the sustainable security of food supply. Based on the division of food supply chain and the classification of external uncertainties, the TVP-FAVAR-SV model was constructed to explore the dynamic impacts of external uncertainties on food supply chain. It was found that the impacts of external uncertainty elements were significantly different, the combination of different external uncertainty elements aggravated or reduced the risks of food supply chain. And some uncertainty elements had both positive and negative impacts in the whole sample period, as the magnitude and direction of the impacts of various uncertainties in different periods had time-varying characteristics. Food security is the guarantee for human survival, economic development, and social harmony. The outbreak of the global food crisis in the early 1970s and in 2008 caused food insecurity in many countries and induced great tension in the world ,4, whichStudies on the food supply chain from different perspectives has played an important role in promoting the development of food supply chain. Based on the general supply chain theory, Ouden et al. found a The food supply chain usually faces complex challenges from external economic, social and natural environment when maintaining stability ,32. ThusChina is the largest grain producer and importer. Limited by the natural environment, China has to ensure food and nutrition security of 18% of the world\u2019s population with only 9% of the world\u2019s cultivated land and 6% of the world\u2019s water resources . China aResearch on the impacts of external uncertainties (or risks) on food supply chain is of great significance to eliminate global hunger and achieve sustainable security of food supply . The resTo improve these deficiencies, this paper first divides the main sectors of the food supply chain and selects a large number of indicators from the two aspects of natural and socio-economic environment to measure the external uncertainties, which serves as entry points for the study. Then, the TVP-FAVAR-SV model is constructed, and the common factors reflecting the external economic environment uncertainties are extracted through latent factor extraction method. With the help of the three-dimensional impulse response of the representative variables in the sectors of the food supply chain to all external uncertainty elements, this paper studies the dynamic impacts of a single external uncertainty element on the food supply chain, and the different impacts of the combination of multiple external uncertainty elements on the food supply chain. Compared with existing research, the three-dimensional impulse responses based on the TVP-FAVAR-SV model can depict the dynamic and complex impacts of external uncertainties more clearly. The impulse response results show the time-varying characteristics of the uncertainties\u2019 impacts, and reveal that the combination and transmission of various uncertainties\u2019 impacts are the main reason for aggravating or reducing the food supply chain risks.In this section, first, we divide the major sectors of food supply chain and classify the external uncertainties, which serve as entry points for the study. Second, the impact mechanisms of external uncertainties on all sectors of the food supply chain are identified. Finally, the construction of empirical model and data sources are introduced.The food supply chain comprises multiple sectors and sub-elements, and each sub-element is independent but closely linked . The synThe external uncertainties include economic uncertainties, social and natural public emergencies ,19,22. TThe impacts caused by the external uncertainties on the primary agri-products supply sector are mainly reflected in labor force reduction, disaster area increase, agricultural production input increase, variety selection, premature harvesting, policy changes, and subsidy shortage ,57,64,65The impacts caused by the external uncertainties on the food production sector are mainly reflected in the impacts on the cost, inventory, production strategy, support services and financial risks of food production enterprises (including agri-products processing enterprises and food manufacturing enterprises) ,67,68, wThe impacts caused by the external uncertainties on circulation and trade sector are mainly reflected in the impacts on food supply, operation costs, market selection, market access, market sanctions, and trade agreements in the food market, which lead to price volatility, consumption fluctuation and trade fluctuation ,22,69,70In the consumption sector, the decision-making behavior of consumers on food purchase is the main content. The impacts of external uncertainties on consumption are mainly realized by changing consumers\u2019 purchasing power, consumption habits, and expectations . In the The external uncertainties to be investigated in this paper cover many indicators, especially 67 economic indicators are used to measure the economic uncertainty, and which cannot be fully included for analysis. In order to show as many of the impacts of external uncertainties as possible, it is necessary to be more prepared to grasp the time-varying characteristics of various impacts, and to improve the ability to explain the relationship among the variables in the system, so it is crucial to analyze with the help of an appropriate model. Considering that the characteristics of some indicators can be described by the common part, the dimensionality reduction of indicators can be achieved by extracting the common part . Kazi etIn order to study the time-varying quality of the parameters, the model needs to be extended to a time-varying parameter form. The basic expression of the time-varying parameters factor-augmented VAR (TVP-FAVAR) model takes the form:According to the methods of Primiceri and NakaStacking the row vector of Following the assumptions as Koop et al. , for eacThus, Equation (1) can be rewritten as:Inserting Equation (10) into (9) can obtain the final TVP-FAVAR-SV form:Monthly data are selected in this paper to describe the external uncertainties as carefully as possible and maintain the consistency of data frequency. Considering data availability, the sample interval selected in this paper is from March 2005 to June 2020. In primary agri-products supply sector, primary agri-products trade includes vegetable products and animal products, and the specific product types and corresponding HS codes are shown in This paper draws on the latent factor extraction method proposed by Bernanke et al. to extraIn p-value of ADF-statistic, all variables have passed the unit root test.Since this paper studies the relationship between time series, before empirical analysis, this paper uses unit root test to examine the stationarity of all variables in the TVP-FAVAR-SV model, in order to eliminate the influence of random law differences in non-stationary series ,81. The Based on the common factor extraction and unit root test, this paper further explores the three-dimensional impulse responses of representative variables in each sector of food supply chain to positive shocks of public health emergencies (PHE), disaster emergencies (DE), interest rate uncertainty factor (IRU), financial uncertainty factor (FU), social development uncertainty factor (SDU), and consumption uncertainty factor (CU).The impulse responses of primary agri-products purchase price (PAPP)The positive shocks of external uncertainties mainly have positive impacts on PAPP. FU and DE have relatively large impacts, while that of CU is the smallest. The impacts of DE have obvious intermittence.From October 2009 to September 2010, IRU had great impacts on PAPP, and the Chinese government implemented moderately loose monetary policies to cause an increase in the positive impacts of IRU on PAPP ,82. WhenFrom April 2007 to February 2008 and from May 2009 to March 2010, FU had great positive impacts on PAPP, because the agri-products price rose rapidly with the high liquidity of domestic currency and assets in these two periods .From February 2009 to October 2010, the impacts of SDU on PAPP increased remarkably, mainly due to the significant growth of PAPP driven by the \u210cfour trillion\u210d economic stimulus plan implemented by the Chinese government ,82. FromFrom November 2008 to April 2011, the positive impacts of CU on PAPP were significantly greater than that in other periods. Reasons include the high level of consumer confidence and expectation, and the depreciation of CNY exchange rate. Therefore, strong demand in both domestic and international markets significantly increased PAPP .The continuous heavy rainfall in the Yangtze River Basin from July to August 2010 seriously impacted agricultural production, which led to the increase of PAPP from October 2010 to February 2011, due to the lagging effect of agricultural production on prices. From March 2015 to September 2016, due to severe droughts and floods in North China, Northeast China, and Northwest China, as well as the Yellow River and Yangtze River Basins, PAPP increased significantly during this period.From March 2010 to August 2010, the positive impacts of PHE on PAPP decreased significantly, because the outbreak of influenza A (H1N1) at the end of 2009 reduced consumption of livestock products and pork . Moreove2.The impulse responses of production value of primary agri-products (PVPA)The positive shocks of external uncertainties have both positive and negative impacts on PVPA, with the greatest impacts being of SDU, followed by DE, and CU has the least impacts .Before 2006, IRU mainly had negative impacts on PVPA due to the downturn of the primary agricultural product market, and the rise of interest rate further increased the loan pressures of agricultural enterprises, agents, and purchasers . After 2FU increases PVPA by improving the financing environment of agricultural enterprises and raising primary agri-products price , and hasSince 2006, the Chinese government has implemented a series of agricultural support policies, which have made great contributions to ensuring agricultural production, narrowing the income gap of farmers and maintaining the number of rural laborers ,54,89. TCU has negative impacts on PVPA first, and then positive impacts, but the overall level of impacts is small. With the improvement of residents\u2019 income level, people will increase the consumption of durable goods, high-end goods, or luxury goods, resulting in the negative impacts on PVPA; meanwhile, people\u2019s consumption upgrading can also stimulate agricultural production value ; thus, CDE has negative impacts on PVPA first, and then positive impacts. The occurrence of DE, especially natural disasters, has relatively great negative impacts on PVPA in the short term. Meanwhile, due to the support and protection of agricultural policies, primary agri-products will quickly resume production after disasters, so PVPA will experience compensatory increase in the long term ,90. Due PHE has negative impacts on PVPA first, and then positive impacts, but both positive and negative impacts are small. It reflects that policies implemented by the Chinese government to support and protect agriculture, as well as the emergency prevention and control measures have effectively reduced the impacts of PHE on PVPA.3.The impulse responses of primary agri-products export (PAE)The positive shocks of IRU mainly have negative impacts on PAE, while FU, SDU, and CU, DE, and PHE have both positive and negative impacts. Among them, DE has the greatest impacts on PAE, followed by FU and FU, while CU has few impacts .The increase of IRU means the increase of loan interest rate or price index. On the one hand, it affects PAE by influencing the borrowing costs of exporters ; on the FU first has short-term negative impacts, followed by long-term positive impacts. The reason for the short-term negative impacts is that the FU raised the price of agri-products, thus reducing the price competitiveness of its exports. The long-term positive impacts are realized by improving the financing environment of export enterprises .SDU increases PAE by improving quantity and quality of agricultural production, and strengthening interregional agricultural trade consultation . HoweverCU increases PAE by raising the exchange rate of foreign currency to CNY, and reduces PAE by stimulating consumption when the exchange rates are relatively stable, such as the time from October 2009 to October 2012 .DE and PHE first have great negative impacts on PAE, followed by positive impacts. It indicates that the occurrence of DE and PHE reduce PAE in the short term , but when the disaster passes and agriculture production recovers, PAE will experience compensatory growth .4.The impulse responses of primary agri-products import (PAI)The positive shocks of financial uncertainties, CU and PHE, mainly have positive impacts on PAI. IRU, SDU, and DE have both positive and negative impacts. DE has the greatest impacts on PAI, followed by SDU, and FU has the least impacts . IRU incSDU reduces the dependence on agri-products imports by increasing domestic supply and applying relevant trade policies . It is also found that during the implementation of the \u201cfour trillion\u201d economic stimulus plan (from February 2009 to October 2010), SDU had significant positive impacts, which reflects the strong orientation of the plan . The impDE and PHE have significant positive impacts on PAI, and impacts of DE are relatively great. It indicates that DE is still the main factors affecting the PAI compared with the impacts of economic uncertainties.The impulse responses of sales price of food enterprise (SPFE)The positive shocks of external uncertainties mainly have positive impacts on SPFE, with the greater impacts of FU and SDU, and the smallest of DE . IRU hasThe positive impacts of SDU on SPFE increased significantly from April 2007 to February 2008 and from May 2009 to March 2010. CU has greater pulling effects on SPFE in time of high liquidity, and the impacts of CU on SPFE decreased with time. The continuous heavy rainfall in the Yangtze River Basin from July to August 2010 led to the unstable supply of primary agri-products, so the impacts of DE on SPFE also increased significantly during this period.PHE mainly has positive impacts on SPFE, but it had significant negative impacts from January 2010 to October 2010. The outbreak of influenza A (H1N1) from October 2009 to April 2010 led to a significant decrease in the consumption of poultry and pork products , which f2.The impulse responses of production value of food industry (PVFI)The positive shocks of external uncertainties have both positive and negative impacts on PVFI, with the greatest impacts of DE, followed by PHE, and IRU having the least impacts . The priThe positive shocks of FU increase PVFI by improving the food enterprises\u2019 financing environment and raising food price. The impacts of FU on PVFI will increase in time of high liquidity . SDU hasDE and PHE first have great negative impacts on PVFI, followed by positive impacts. It shows that when DE and PHE occur, PVFI will decrease in the short term; after the disaster pass and enterprises resume production, PVFI will experience a compensatory increase .3.The impulse responses of profit margin of food industry (PMFI)The positive shocks of IRU mainly have negative impacts on PMFI. The positive shocks of SDU mainly have positive impacts. FU, CU, DE, and PHE have both positive and negative effects. DE has the greatest impacts on PMFI and IRU have the smallest impacts .IRU increases food enterprises\u2019 production and operation costs, so IRU mainly has negative impacts on PMFI. FU increases the production costs of food enterprises in the short term, which have negative impacts on PMFI. In the long term, it has positive impacts on PMFI by improving the financing environment and reducing financial risks. In time of high intensity of agricultural policies, the impacts of FU are greater . SDU hasWith the continuous improvement of consumption level, people\u2019s eating habits are constantly upgraded , and fooDE and PHE first have great negative impacts on PMFI, and then have positive impacts. When DE and PHE occur, PMFI will greatly reduce through direct and indirect impacts in the short term. After food enterprises resume normal production, the profit margin will recover .The impulse responses of food retail (FR)The positive shocks of FU and SDU mainly have positive impacts on FR, while positive shocks of IRU, CU, DE, and PHE have both positive and negative impacts. The impacts of DE and PHE are relatively large, while the impacts of IRU are the smallest .In the period of high liquidity (from April 2007 to December 2007 and from October 2009 to September 2010), due to the income effect of savings, people increased food consumption considerably, resulting in positive impacts on IRU during this period. If the money liquidity is at a moderate level, people increase savings due to the substitution effect of savings. Therefore, IRU mainly had negative impacts after 2012 ,96.FU increases FR by raising food prices. Meanwhile, it also stimulates food consumption by increasing residents\u2019 income. SDU increases FR by improving residents\u2019 income and enhancing food market construction . The impDE and PHE rapidly increase FR in the short term by changing consumer expectations ; however2.The impulse responses of food products export (FPE)The positive shocks of IRU mainly have negative impacts on FPE. SDU mainly has positive impacts, while FU, CU, DE, and PHE have both positive and negative impacts. DE and SDU have greater impacts on FPE, while CU has the least impacts .IRU has negative impacts on FPE by affecting the borrowing costs of export enterprises and raising domestic food prices. After 2016, with the rise of loan interest rate and the continuous growth of agri-production material price index, the negative impacts of IRU on FPE increased. In the short term, FU can raise food prices, which causes negative impacts on FPE; in the long term, FU has positive impacts on FPE by improving the financing environment of food exporters ,88.SDU increases FPE by improving food quality, diversifying food supply, and improving the trade environment of food enterprises and the development prospects of food exporters . SimilarDE and PHE first have great negative impacts on FPE and then have positive impacts. When DE and PHE occur, FPE decreases greatly in the short term; after the disasters or pandemics, FPE will experience a restorative growth .3.The impulse responses of food products import (FPI)FU mainly has positive impacts on FPI, and other external uncertainties have both positive and negative impacts. DE has the greatest impacts on FPI, followed by SDU, and IRU having the least impacts . In the FU mainly increases FPI by improving the credit level and financing scale of import enterprises . With thDE and PHE first have positive impacts on FPI, and then negative impacts. The increase of FPI caused by the influenza A (H1N1) outbreak in October 2009 and H7N9 in December 2016 was significantly greater than that caused by COVID-19; considering the safety of imported food, global outbreaks of infectious diseases will strengthen quarantine on imported goods and reduce the food products import.Since the sales amount in the food market equals the purchase amount of consumers , and the impacts of external uncertainties on food retail have been discussed in the circulation and trade section, this section is devoted to analyzing the impacts of external uncertainties on the food consumption price.The impulse responses of food consumption price (FCP)The positive shocks of FU and CU mainly have positive impacts on FCP, while IRU, SDU, DE, and PHE have both positive and negative impacts . IRU hasThe positive impacts of DE on FCP have great volatility. PHE has positive impacts on FCP first and then negative impacts, but both positive and negative impacts are small, reflecting the Chinese government\u2019s effectiveness of food prices regulation.The impacts of IRU on the sales price of food enterprises and food consumption price are significantly greater than that on the purchase price of primary agri-products. On the one hand, this difference is because the food products are at the end of the supply chain, and prices are directly affected by IRU shocks, as well as the transmission of impacts that caused by IRU on other sectors. On the other hand, the price support and protection policies implemented by the Chinese government have effectively restrained the fluctuation of primary agri-products price.IRU affects the production value of primary agri-products, production value, and sales profit of food enterprises by changing production, sales, and operating costs. In the time of high liquidity, positive shocks of IRU lead to a significant decline in the sales profit margin of food enterprises, despite the increase in its production value.aThis phenomenon causes by the sensitive responses of production costs and loan costs to changes in the interest rate.IRU affects food retail through income effect and substitution effect of savings. The substitution effect is dominant during periods of moderate liquidity, while the income effect plays a major role during periods of high liquidity.IRU has an impact on trade of primary agri-products and food products by affecting the agri-production material price and enterprise credit costs, and the impacts on exports are greater than that on imports. It indicates that preferential loan interest rate policy for export processing enterprises can effectively improve their resistance against risks in primary agri-products and food products exports, which is consistent with the conclusions of Qu and Kang and NordFU increases the purchase price of primary agri-products, sales price of food enterprises, and food consumption price through financialization. The impacts on the sales price and food consumption price are greater than that on the purchase price of primary agri-products. Because the purchase of agri-products is at the front of the supply chain and is less affected by risk transmission from other sectors. And price support and protection policies implemented by the Chinese government reduce the price volatility of primary agri-products, and the results verify the findings of Assefa et al. .FU affects the production value of primary agri-products by changing the financing environment of primary agricultural producers and raising the price level of primary agri-products, and affects the production value and sales profit margin of food enterprises by changing the sales price, financing environment, financial risks, non-operating income, etc. FU has greater impacts on the sales profit of food enterprises. It shows that internal operation management of the enterprises reduces the risk transmitted from sales profit to production value, consistent with Kuiper and Lansink and GoliFU has great impacts on primary agri-products exports and small impacts on primary agri-products imports and food products trade, indicating that the relevant policies by the government and financial institutions to support the financing of agricultural export enterprises are important measures to increase agri-products exports. And this is consistent with Nordhagen et al. and ZhanSDU has greater impacts on the sales price of food enterprises and food consumption than on the purchase price of primary agri-products. This is caused by the differences in risk transmission from other sectors and the implementation of agricultural protection policies. The Chinese government has implemented policies such as grain supporting procurement and agricultural production subsidies, which are of great significance to stabilize the price of agri-products. Especially from 2008 to 2013, the steady implementation of the minimum purchase price policy for wheat and rice, temporary purchase and storage policy for corn, soybean and cotton, and the substantial increase of agricultural production subsidies led to corresponding increase in the response value of agri-products purchase price during this period.SDU has positive impacts on production value of primary agri-products, production value, and sales profit margin of food enterprises through the agricultural policies to protect primary production and improve farmers\u2019 income , as well as a series of positive policies to support food enterprises , and have a greater impact on the sales profit margin. It indicates that the preferential policies implemented by the Chinese government to support the development of food enterprises have effectively reduced the internal operation costs and risks of food enterprises, and can significantly improve the profit margin. The results verify the findings of Golini et al. and NordSDU increases sales by increasing consumers\u2019 income and improving construction of food market. The purpose of improving construction of food market is to promote the diversification of consumers\u2019 dietary structure and to meet their needs for balanced nutrition.SDU increases the export of agri-products and food products by improving product quality, increasing varieties, and improving the trade environment, and has negative impacts on agri-products import . However, economic development also brings about upgrading of the consumer market, which increases the import of high-quality and diversified food products.CU has positive impacts on the purchase price of primary agri-products, sales price of food enterprises and food consumption price by increasing consumer confidence and expectation. The positive impacts are more significant in time of high liquidity.Due to the necessity of agricultural production and the rigidity of food demand, the impacts of CU on production value of primary agri-products and food industry are volatile, but the overall impacts are small; these findings are consistent with Davis et al. .CU first has negative impacts on the profit margin of the food industry and then positive impacts. The reason for this change is the mismatch between food supply and consumer demand caused by upgrading dietary habits. The shift from negative to positive impacts is also the process in which new products are produced and then accepted by the market, and finally growth of sales profit is achieved. This result verifies the finding of Dania et al. .The impacts of CU on food retail have significant volatility. Especially when zoonotic infectious diseases occur , the positive impacts on food retail sales are significantly reduced. This phenomenon is affected by consumers\u2019 attitudes toward the risk perception, which is consistent with the conclusions of Lobb et al. and SeegCU increases the export of primary agri-products and food products by increasing the exchange rate of foreign currency to CNY, and increases the import of primary agri-products and food products by stimulating consumption.The impacts of DE on the purchase price of primary agri-products are greater than that on the sales price and consumption price. Agricultural production has features of periodic planting and the concentrated harvest, so the occurrence of natural disasters has relatively great impacts on the price of primary agri-products. Food enterprises can reduce the transmission of domestic agri-product price fluctuations to food prices through imports, so DE has smaller impacts on the sales price of food enterprises.With the end of the disaster and the implementation of agricultural protection policies and risk response measures, the production value of primary agri-products, the production value, and profit margin of food enterprises will gradually recover, which is consistent with Zhan and Chen . AlthougDE changes consumers\u2019 consumption expectations and increases food reserve in the short term to ensure future living needs, which lead to increased food retail. Consumption of reserved food after the disaster leads to a decline in food retail.DE significantly reduces exports and increases imports of agri-products and food products in the short term. After the disaster, exports of agri-products and food products experience restorative growth, and their imports declined significantly. With the continuous improvement of agriculture-related policies, agri-products trade is gradually affected by policies, while the impacts of DE are gradually reduced.The impacts of PHE on the purchase price of primary agri-products are smaller than that on sales price and food consumption price, which is consistent with Nordhagen et al. . This diPHE has relatively small impacts on the production value of primary agri-products, mainly due to the series of agricultural support and protection policies, as well as the emergency prevention and control measures. PHE first has great negative impacts on the production value and profits of the food enterprises, and then have positive impacts. Especially after the occurrence of zoonotic infectious diseases, the negative impacts on the production value and profit margin increase, and the positive impacts decrease. After the pandemic, the production value recovers rapidly, but sales profit margin recovers slightly, which may lead to the long-term loss of enterprises, and it is consistent with Nordhagen et al. . TherefoThe impacts of PHE on food retail sales are much greater than that on the production value, price and profit margin of the food industry, reflecting that China\u2019s food supply chain has a certain resilience, and this result verifies the findings of Fan et al. . MeanwhiPHE significantly reduces export and increases imports of agri-products and food products in the short term, but export of agri-products and food products experiences restorative growth after the pandemic. Import of food products can be reduced during the global infectious diseases (such as COVID-19 in 2020), and the terms of trade will be more stringent (such as strengthening quarantine and screening import markets), because of concerns over the safety of imported goods.This study divided the main sectors of the food supply chain and fully considered the time-varying quality, complexity, and high-frequency occurrence of external uncertainties as the entry points, then selected a large number of monthly indicators to measure the external uncertainties, and used three-dimensional impulse responses based on the TVP-FAVAR-SV model to depict the dynamic impacts of external uncertainties on food supply chain. The impacts of combination of various uncertainty elements and the transmission of these impacts among various sectors of the food supply chain are the focus of this study. It was found that the impacts of all external uncertainty elements were significantly different: social and natural public emergencies had great impacts on aspects of retail sales, profit margin, and international trade, while economic uncertainties had great impacts on aspects of price, production, and international trade. It was also found that the combination of different external uncertainty elements aggravated or reduced the risks of food supply chain. With the continuous improvement of the agricultural policy system, the negative impacts of economic uncertainties on the food supply chain were gradually diminished, and the appropriate liquidity improved the positive impacts of relevant policies. The integrated emergency measures and complete market systems reduced the negative impacts of disaster emergencies and public health emergencies on the production sector, and shortened the time for food enterprises to resume operation and end the profit losses. Unlike risks, some uncertainty elements had both positive and negative impacts in the whole sample period. The magnitude and direction of the impacts of various uncertainties in different periods had time-varying characteristics, and the time-varying characteristics were caused by the impacts of combination of various uncertainty elements and the transmission of these impacts.This paper recognizes and acknowledges that some limitations are still in variable selection and content analysis when analyzing the dynamic impacts of external uncertainties on the food supply chain, which provides approaches for future research. When identifying the external uncertainties of the food system, the paper tried to summarize the socio-economic environment and natural environment, and finally selected many indicators from public health emergencies, disaster emergencies, and economic uncertainties to measure the complexity of external uncertainties. However, the uncertainty risks of the food system are multifaceted, and especially in recent years, the pressure of resources, environment, and energy consumption has seriously challenged the sustainable stability of the food system. This paper is short of risk analysis from the aspects of resources, environment, and energy. Moreover, the Chinese government has implemented a series of policies and measures to achieve the carbon peak and neutrality goals. These policies and measures also have long-term and important impacts on the sustainable development of the agri-food system. However, this paper is short of the uncertainty analysis of relevant policies and measures. ITo comprehensively analyze the impacts of external uncertainties to ensure the sustainable stability of the food system, future research could focus on: (1) selecting impact factors from energy and environment as important indicators and summarizing them into the external uncertainty system, such as energy prices, production, trade, as well as carbon emissions, land use, agricultural material consumption, and other elements; (2) using a variety of quantitative methods to study the impacts of relevant policies and measures implemented by the Chinese government on the food system, such as data crawling technology, event and text analysis method, etc., to achieve multi-scale research on the sustainable security of the food supply chain."}
+{"text": "High-quality talent cultivating Internet of Things (IoT) Engineering is the basis for the rapid development of IoT technology. To train high-quality application-oriented IoT technical talents, guided by educational psychology, this article conducts in-depth research; analyzes the characteristics of IoT Engineering; makes professional talent cultivating programs and cyclical adjustment plans; builds a high-quality teaching system based on the professional knowledge system of the IoT; explores the \u201cspiritual level\u201d and \u201cpsychological level\u201d characteristics of teachers and students in teaching; highly integrates \u201cIndustry-University-Research-Competition\u201d from the perspective of students, teachers, and colleges; infiltrates positive psychological cues appropriately; formulates the construction method of the \u201cstudent teaching assistant\u201d auxiliary system to enhance the efforts to promote learning by learning; and finally innovates the talent cultivating system for the IoT Engineering. The implementation results show that the students trained by this system have a solid foundation of knowledge related to IoT Engineering and strong engineering practice application, adaptability, and innovation ability. Based on sensing technology, information recognition technology, communication technology, and control technology, the Internet of Things (IoT) realizes the connection among things and is one of the global strategic emerging industries. At the fifth session of the 11th National People\u2019s Congress on 5 March 2010, the IoT was written into the Government Work Report for the first time. Since then, the industrialization process of IoT technology has been fully promoted, combining the development strategies of energy conservation, consumption reduction, green and low carbon with the sustainable development industry, food safety, disaster monitoring, modern logistics, intelligent transportation, and other industries as the entry point. The research and development of IoT technology promotes the development of devices, chips, materials, services, and other industries; forms an industrial cluster effect; promotes the integration of the undertaking of traditional industries and the independent innovation of emerging industries; and leads to the enduring demand for IoT technical personnel in the talent market. The talent cultivation of IoT has become the key to the sustainable and rapid development of the IoT.To train technical talents for the IoT, universities in China have started to offer the major of IoT Engineering successively since 2010, and our university (Luoyang Institute of Science and Technology) also added the undergraduate major of IoT Engineering in 2014. Compared with the traditional established major, this major is an interdisciplinary subject, involving the integration of computer, automation, communication engineering, and other multidisciplinary knowledge. The development time is short, and the talent cultivation scheme is not mature. Therefore, the talent training system of IoT Engineering must be constantly improved and perfected based on the development needs of society and school .Educational psychology mainly slanding.zhaopin.com and 51job.com), we can learn the types and levels of current demand for IoT talents, get the multidisciplinary demand for IoT technology, and determine the industry fields for talent cultivation. According to the college development plan, the key points of talent cultivation are determined: talent cultivation of IoT technology with big data in building materials industry. Questionnaires are used to obtain feedback on graduates\u2019 employment, such as industry and salary. Shortcomings of existing talent cultivation programs are found while exploring the space for improving the quality of talent cultivation.In view of the characteristics of interdisciplinary integration, the development of talent cultivation programs for IoT Engineering majors needs to fit social needs, school positioning, and teacher-student status analysis based on educational psychology. By investigating official websites of government departments, public institutions, large enterprises , and recruitment websites Meet the needs of the development of innovative talents, with all-round development of both political integrity and ability, showing good humanistic quality, professional ethics, and social responsibility.(2)Have a solid mathematical foundation and a good basis of natural science.(3)Master the professional knowledge and skills of the IoT; be able to analyze, research, and design solutions; solve the application problems of the IoT in the research and development of building materials with big data; have strong engineering practical ability and unique thinking mode of the IoT Engineering; and become the technology backbone.(4)Have engineering organization ability, teamwork ability, and international vision.(5)Have lifelong learning ability and be able to update and expand their knowledge and ability through appropriate ways.Curriculum system is the core of higher education, reflecting social needs, scientific knowledge, and ability development . The conConstructivism holds that \u201clearners do not transfer knowledge from the outside world to memory, but construct new understandings based on existing experience through interaction with the outside world.\u201d To cultivate high-quality application-oriented talents, the curriculum system must be able to cultivate students with correct world outlook, outlook on life, and values.To cultivate students majoring in IoT Engineering to have a good sense of appreciation, be rich in knowledge and experience and get excellent ability, at present, the curriculum system of this major should include four categories, namely, general courses, basic engineering courses, professional basic courses, and professional courses, as shown in General courses mainly include Ideological and Political Theory Courses, Physical and Mental Development Courses, Language and Tool Courses, and Quality-Oriented Education Elective Courses. At present, the Ideological and Political Theory Courses in our college include Morality and Law, Basic Principles of Marxism, Introduction to Mao Zedong Thought and the Socialist Theory with Chinese Characteristics, and Outline of Contemporary and Modern Chinese History. Physical and Mental Development Courses include Physical Education, Military Theories, Mental Health Education for Undergraduate, Career-Ready Skills with Innovation, and Entrepreneurship Practice. Language and Tool Courses include College English and College Applied Writing. Quality-Oriented Education Elective Courses include courses about humanities and art, social science, natural science and technology, economic management, and general development of foreign languages .Basic engineering courses for IoT major mainly include mathematics and physics. Mathematics courses include Advanced Mathematics I, Linear Algebra I, Probability and Statistics I, and Discrete Mathematics. Physics courses include College Physics II and College Physics Experiment.Professional basic courses mainly focus on the basic theory and program design of IoT technology, aiming to train the student to gain IoT technology learning foundation and prepare for the study of knowledge required by the design and development of IoT systems. This type of course covers Electrical and Electronic technology, Program Design of C Language, Computer Organization and Architecture, Data Structures, Database Systems and Applications, Computer Networks, Operating Systems, and Digital Logic.Professional courses are divided into professional required courses and professional elective courses, which mainly train students to have the ability of IoT system design, development, management, and maintenance; to serve the IoT application in building materials industry; and to provide direction for employment and further study. Professional required courses for IoT mainly include Specialty Introduction for IoT Engineering, Java Programming, Information Security, IoT Communication Technology, Embedded System, IoT Identification Technology (college-enterprise), IoT Application Software Development for Building Materials Industry, and IoT Engineering Design and Implementation. The professional elective courses are divided into two directions: Direction One (Cloud Computing-IoT): Cloud Computing Technology (college-enterprise), Big Data Technology, Smart City System, and IoT VR Design; Direction Two : Artificial Intelligence, Linux-C Programming, IoT Middleware Development, and Smart Agriculture System.At present, the curriculum system of IoT Engineering major in our college highlights the knowledge that students of this major should master in quality-oriented education and engineering education. Professional basic courses constitute the most core basic knowledge of this major, and the setting of professional courses reflects the common requirements of IoT technology application ability and the training focus of IoT Engineering major in our college.Our college is positioned as application-oriented, and its teaching activities focus on \u201capplication,\u201d aiming at cultivating high-quality application-oriented talents with strong social adaptability and competitiveness. IoT Engineering itself is closely related to practical application, so practice teaching is the key to make students digest kinds of theoretical knowledge and applThe application ability of students majoring in IoT Engineering includes engineering practice ability and innovation and entrepreneurship ability . Around The IoT Comprehensive Experiment Center of our college is one of the Experimental Teaching Demonstration Centers in Henan Province. It has an IoT experience experiment platform, a communication experiment system, a smart experiment platform of agricultural machinery, Cisco network routers and switches, high-performance servers and computers, optical fiber fusion splicers, IoT Comprehensive testers, FLUKE network testers, and embedded experiment boxes and provides experiment environment for professional experiments such as a single-chip microcomputer, embedded system, RFID, wireless sensor networks, communication and switch, upper computer, cloud, and AI. We utilize educational psychology to set up three-level experiment courses. These courses incorporate the application of the IoT in the building materials industry, smart agriculture, and advanced manufacturing industry. Step by step, they can mobilize the initiative of students in the experiment/experimental training and can cultivate engineering practice ability in cement production simulation, smart livestock farm, industrial Internet, and other industries, highlighting the characteristics of the IoT Engineering major of our college and the good teaching quality.Experiment is the foundation for cultivating ability to apply knowledge flexibly, and practical training is the basis for students to improve their personal abilities and possess engineering practice and innovation/entrepreneurship capabilities. By rationally setting up on-campus practical training courses, using educational psychology scientifically to analyze students\u2019 practical training status and arrange corresponding practical training details, students can consolidate their learned knowledge and cultivate their practical ability in the actual trial production environment. Based on educational psychology, our college guides students to contact, understand, and serve the society through reasonable planning of corporate training, IoT project engineering design, and graduation project; and cultivate students\u2019 IoT comprehensive practical ability, especially the service and innovation capabilities of IoT in building materials industry with big data. Our college has set up a practical training center for IoT and further built practical training and scientific research platforms such as \u201cCisco Network Technology Institute,\u201d \u201cHuawei Institute of Information and Network Technology,\u201d \u201cRenesas Electronic Joint Laboratory,\u201d and \u201cShuguang Ruiyi Big Data Innovation Center.\u201d At the same time, our college has signed eight off-campus practice bases with Shenzhen Xunfang Communication Technology Co., LTD., Wuxi NIIT (China) Institute of Service Outsourcing, and other related enterprises, to ensure the quality of on-/off-campus practical training courses in terms of software, hardware, and teachers.\u201cIndustry-College-Research-Competition\u201d (ICRC) refers to the cooperation between colleges and enterprises , which iTo achieve the deep integration of ICRC Student perspective: In four years of college, complete a scientific and technological research in the field of IoT independently, complete several experimental projects related to the needs of enterprises and competition, participate in scientific research activity for teachers at least 1 time, participate in enterprise IoT projects at least 2 times, complete a comprehensive innovative experimental project cooperatively, and participate in IoT-related competition at least 1 time.(2)Teacher perspective: Link their own scientific research with enterprises College perspective: Establish good and stable college-enterprise cooperation with IoT-related enterprises, take the market demand as the guidance, serve Luoyang economy and building materials industry, explore the cultivation mode based on the ICRC integration for the training of high-quality applied talents, improve multi-evaluation subsystem reflecting the characteristics of ICRC with respect to the curriculum system, teaching team, college-enterprise joint practice bases and competition training mode, and construct the talent cultivation subsystem of ICRC integration, carrying out efficient and high-quality teaching work.The relevant theories of educational psychology point out that the teacher\u2013student relationship is the most basic and important interpersonal relationship when implementing teaching activities, and the teacher\u2019s attitude toward students affects the quality of teaching directly. Therefore, the cultivation of high-quality application-oriented talents is dependent on the harmonious teacher\u2013student relationship and the smooth development of student-centered teaching activities . At presBy studying the cooperative learning theory in educational psychology, our college has set up a mechanism \u201cStudent Teaching Assistant (STA)\u201d . This meCourse assistants are responsible for maintaining classroom discipline; supervising pre-class preview, after-class review, and homework; and organizing flipped classrooms. CAs\u2019 solid efforts in learning are conducive to creating a good atmosphere for class learning. They assist teachers to detect students\u2019 psychological changes timely; promote healthy competition in learning in the class; encourage all students to develop good habits for listening to classes, previewing and reviewing; improve the utility of flipped classroom teaching activities such as teaching video watching and cooperative discussion; organize curriculum knowledge of IoT Engineering in series by mind mapping and other methods; and organize course knowledge competition. CAs give full play to the role of mentoring and guiding poor students and make progress together. They are selected within the same grade. Each course has 3\u20134 CAs, and each CA is responsible for a study group of less than 10 students. With the help of CAs, the phenomenon of \u201cphubber\u201d in class, homework copying, etc., can be reduced. Good college study habits can be established, and students are more active and solid in learning the theoretical knowledge related to IoT, which is many, complex, and difficult.In addition to experimental classes, our college has an open system to facilitate students to use the laboratory to complete practical tasks after class. One role of PA is the laboratory-assisted management. PAs assist teachers to urge students to maintain a good experimental environment and follow laboratory discipline consciously, and this mechanism cultivates students\u2019 sense of ownership about the laboratory. Another role of PA is to assist teachers to guide various IoT-related experiments, internships, and practical training courses. PAs take the initiative to solve common problems in practice for other students, promote mutual assistance among students, discover and summarize problems, and give feedback to teachers to solve them in a timely manner. PAs are produced from the students in senior grades and the same grade, among which the PAs from senior grades assist in the practice and training and the PAs from the same grades assist in course experiments. With the help of PAs, the interaction between teachers and students is enhanced, so that detailed practical guidance can cover each student, which is conducive to the cultivation of students\u2019 practical ability.Competition and research assistants are mainly responsible for the collection and promotion of competition information, the auxiliary organization of competition training, the leading participation of enterprise projects, and teachers\u2019 scientific research projects (such as IoT software coding and project data collation). They assist teachers to optimize the allocation of personnel and resources for competition and scientific research and shorten the distance between competitions/projects and students. Besides, they take themselves as examples to drive all the students majoring in IoT to learn the frontier knowledge. The selection of such assistants is based on the awards of the competition, and their responsibilities are determined according to the award level. Students with low levels of awards provide introductory training to lower grade students . High-level award-winning students assist teachers in training and guiding IoT technology competitions . In addition, all CRAs participate in the project as team leaders responsible for the implementation of sub-tasks and the management of student members. With the help of CRAs, students are encouraged to form a healthy and upward competitive psychology and stimulate their innovative consciousness. In this way, competitions and participation in scientific research activities can become the norm for the IoT Engineering major, and students can develop their ability to discover, analyze, and solve engineering application problems.In 2014, our college started to recruit students for the IoT Engineering and followed the above methods to build a talent cultivation system. At present, certain results have been achieved in cultivating high-quality applied talents.To check students\u2019 subjective initiative, questionnaires for students\u2019 self-evaluation in learning are released at the 1/4 semester, 1/2 semester, 3/4 semester, and the end of the semester. The scores of the questionnaires from 2014 to 2021 were sorted out, and the results are shown in The execution quality of experiment and practice directly affects the quality of IoT Engineering talent cultivation. Collecting the assessment results of experiments and practice sessions, the average proportions of excellent, good, medium, and poor grades are calculated separately according to Eq. 1 every year from 2015 to 2021, and m and n are the number of courses and practice sessions, respectively; Exp Li and Pra Lj are the number of students who gain grade L in experiments attached to course i and practice session j separately; and Ci and Pj are the number of students attending the course i and practice session j, respectively.where Participating in competitions and teachers\u2019 scientific research is an effective way to enhance the core competitiveness of students. We counted the number of students who take competition and scientific research in IoT Engineering, with results shown in Students are the objects of talent cultivation and the core of teaching activities, and their psychology directly affects the training quality. To this end, we can use educational psychology with student learning psychology as the core to improve the cultivation quality of application-oriented talents in IoT Engineering.The construction of a high-quality application-oriented talent cultivation system for IoT Engineering involves many aspects. We analyze the existing knowledge architecture of IoT technology according to educational psychology. Based on the characteristics of the IoT major, we provide the formulation and adjustment strategies of talent cultivation programs and then put forward the idea of building a high-quality talent cultivation teaching system based on constructivism. Considering the psychological characteristics of teachers and students, we explore the deep integration mode of industry, college, research, and competition. Finally, we construct an STA auxiliary mechanism using a positive energy psychological hint. To sum up, all of these conduct the cultivation of high-quality application-oriented talents for IoT Engineering.The rapid and sustainable development of IoT technology determines that it is a long way to cultivate high-quality application-oriented talents for IoT Engineering. In the future, efforts should be made to integrate educational psychology and teaching practice to obtain more efficient and high-quality methods of training application-oriented talents.The original contributions presented in the study are included in the article/supplementary material, further inquiries can be directed to the corresponding author.YN: investigation, writing original draft, data analysis, and method design. HW: applied research in educational psychology, investigation, and method design. BL: editing, writing, checking, and data collection. SY: implementation plan of educational psychology. All authors contributed to the article and approved the submitted version.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest.All claims expressed in this article are solely those of the authors and do not necessarily represent those of their affiliated organizations, or those of the publisher, the editors and the reviewers. Any product that may be evaluated in this article, or claim that may be made by its manufacturer, is not guaranteed or endorsed by the publisher."}
+{"text": "The nanopatterning of bionic materials, performed by means of laser processes that utilize pulsed laser sources with short and ultrashort pulse durations, is a rapidly growing field. The method\u2019s applications are varied, being used mainly to tailor special industrial, medical, and scientific applications. This process is significantly driven by the exciting properties of micro- and nanopatterned materials found in natural biological species. These include being self-cleaning, capable of adapting color and reflectivity, the possession of pronounced adhesive and anti-adhesive properties, the aptitude for wetting and directional fluid transport, reduction of wear and friction, control of cell growth, and antimicrobiotic properties .This Special Issue, entitled \u201cNanopatterning of Bionic Materials\u201d, represents an extension of the former review and includes a collection of recent top-quality articles in this research area. Particular attention has been devoted to the functionalization of medical implants and other surfaces, relevant for biomedical applications owing to the widespread need for improved approaches in medicine in our aging society. A comparable scenario applies for miniaturized sensors concerning the sensitivity of small traces of biologically hazardous or metabolic gases.(i)Functionalization of Ti-based medical implants by means of laser-induced micro- and nanostructures for cell repellence as well as for osteoblastic proliferation and differentiation ,3,4;(ii)Polymer surfaces with antimicrobiotic and antiadhesive properties induced by laser-induced periodic surface structures (LIPSS) in connection with nanofibers or nanowires ,6,7;(iii)The generation of novel hybrid carbon nanotube materials for biosensing applications by means of laser-induced forward transfer (LIFT) .Herein, only original research articles have been considered for publication. The present Special Issue includes contributions on the following research topics:Overall, I am grateful to all the authors for their fine contributions to the present Special Issue, and hope that the published studies will pave the way for the novel real-world applications of nanomaterials in medicine and biotechnology."}
+{"text": "A 34-year-old female was referred to our department, complaining of multiple asymptomatic lesions that appeared two weeks previously. The patient had active nephritis with nephrotic syndrome and was treated with immunosuppressive therapies. Physical examination revealed multiple well-circumscribed rounds of flat brownish plaques with slightly elevated borders, some of which were covered by scales. The number of lesions was nine in total. Skin biopsy specimens showed dyskeratotic cells in the thinned epidermis with cornoid lamella, and the absence of a granular cell layer. The development of porokeratosis was considered to be related to immunosuppressive therapy or the activity of nephritis. Dear Editor,A 34-year-old female was referred to our department, complaining of multiple asymptomatic lesions that appeared two weeks previously. Physical examination revealed multiple well-circumscribed rounds of flat brownish plaques with slightly elevated borders, some of which were covered by scales . The numEruptive porokeratosis is characterized by rapid onset of porokeratosis, which occasionally presents with more than 100 lesions involving multiple regions, in association with paraneoplastic, immunosuppressive, inflammatory, and other conditions.None declared.Masato Ishikawa: Designed the study; performed the research and contributed to analysis and interpretation of data; wrote the initial draft of the manuscript; read and approved the final version of the manuscript.Toshiyuki Yamamoto: Designed the study; assisted in the preparation of the manuscript; read and approved the final version of the manuscript.None declared."}
+{"text": "Vector-borne diseases (VBDs) are a major threat to human health. Climate change has a significant impact on VBDs. To clarify the complex effects of climate change on VBDs, we concluded the effects of climate on the transmission and spread of VBDs from an ecological perspective and summarized VBD changes in response to climate change, specifically including: the nonlinear effects of local climate on VBD transmission, especially temperature showing n-shape effects; regional climate (the El Ni\u00f1o\u2013Southern Oscillation and North Atlantic Oscillation) has time-lag effects on VBD transmission through indirect impact on local climate; and the u-shaped effect of extreme climates can lead to the geographical spread of VBDs. In terms of non-climatic factors, land use and human mobility through the interactions with climatic factors, will affect transmission and spread of VBD. We further explored the uncertainty of the impact of climate change on VBDs under the COVID-19 pandemic. A systematic understanding of the impact of climate change on the transmission and spread of VBD can provide insights and suggestions for future research on VBD prevention and control.Climate change affects ecosystems and human health in multiple dimensions. With the acceleration of climate change, climate-sensitive vector-borne diseases (VBDs) pose an increasing threat to public health. This paper summaries 10 publications on the impacts of climate change on ecosystems and human health; then it synthesizes the other existing literature to more broadly explain how climate change drives the transmission and spread of VBDs through an ecological perspective. We highlight the multi-dimensional nature of climate change, its interaction with other factors, and the impact of the COVID-19 pandemic on transmission and spread of VBDs, specifically including: (1) the generally nonlinear relationship of local climate and VBD transmission, with temperature especially exhibiting an n-shape relation; (2) the time-lagged effect of regional climate phenomena (the El Ni\u00f1o\u2013Southern Oscillation and North Atlantic Oscillation) on VBD transmission; (3) the u-shaped effect of extreme climate on VBD spread; (4) how interactions between non-climatic (land use and human mobility) and climatic factors increase VBD transmission and spread; and (5) that the impact of the COVID-19 pandemic on climate change is debatable, and its impact on VBDs remains uncertain. By exploring the influence of climate change and non-climatic factors on VBD transmission and spread, this paper provides scientific understanding and guidance for their effective prevention and control. Climate change, which has affected the world since the last century, has caused a general rise in temperatures over the period of 1906\u20132005 and poseThe ten publications in this Special Issue illuminate the impacts of climate change on ecosystems and human health from different perspectives in diverse disciplines, including phytology, biology, epidemiology, pathology, and molecular biology. In phytology and biology, the geographical ranges of plants and animals have been shown to be affected by climate change ,7,8. In As a climate-sensitive type of disease, VBDs are assessed on a global scale with the aim of shedding light on possible future trends, particularly given the increased likelihood of climate change . The impThe influence of climate factors on the transmission and spread of VBDs can be considered at the levels of local climate, regional climate, and extreme climate. Local climate, represented by temperature, rainfall, and wind, mainly affects the transmission of VBDs by affecting their vectors ; regionaThe effects of local climate factors on VBD transmission are generally nonlinear. These factors can affect the distribution range, population dynamics, and virus transmission ability of vectors , and henThe non-linear effect of temperature on VBD transmission generally follows an n-shape . Under sPrecipitation has also demonstrated a nonlinear effect on VBD transmission in many studies. A suitable level of precipitation may be beneficial for the formation of vector breeding habitats , especiaHigh wind speeds hamper mosquitos in their flight, can decrease the density of mosquitoes, and make them less likely to stand on and bite their hosts. An example to support this view is the finding that high wind impeded the rate of West Nile virus transmission; conversely, there is no obvious negative trend in the effect of low wind speed on mosquitoes. ,45. ThisClimate change has an important impact on the transmission of vector-borne diseases, which in general will expand the climate-adaptive transmission zone of vector-borne diseases. In Europe, climate change is likely to expand ticks into higher latitudes and altitudes, thereby increasing the incidence of tick-borne diseases . In SoutRegional climate mainly exerts its influence on VBDs through local climate factors, which in turn affect the ecological habitat, distribution, and population dynamics of the vectors , and henNumerous studies have concluded that local climate has a time-lag effect on VBD transmission in the short term. For rodent-borne diseases, many studies have also demonstrated a time-lag effect of regional climate, such as on renal hemorrhagic fever ,57, leptTime-lag effects of regional climate have wider ranges and longer timespans than local climate effects, and hence are more relevant to making predictions for disease prevention in advance. ENSO is the most significant example of quasi-periodic climate variability on an interannual scale that can affect weather all over the world . The patWith the frequency of climate extremes increasing as climate change accelerates, it is increasingly important to understand the impact of climate range edges and limitations on VBDs A. Most eDifferent types of extreme climate events have different effects on the distribution expansion of VBDs. The impact of heat waves on mosquitoes depends on the onset time and duration; such events usually promote mosquito population growth in early developmental stages, but often suppress the entire life cycle . Thus, uAedes aegypti can expand its distribution in mountainous areas by up to 4215 km2, which would put over 12,000 people at risk of disease [Ixodes ticks in Europe, especially Northern and Central Europe; however, extreme weather is expected to expand the distribution of Ixodes ticks in Europe by 3.8% during 2040\u20132060, and tick-borne encephalitis (TBE) is expected spread to high altitudes and latitudes [Thus, in the context of climate change, climate extremes are increasingly expected to create additional risks and possibilities for the spread of VBDs ,89. When disease . In Indi disease . Extremeatitudes . In New atitudes .Beyond climate factors alone, the interactions of non-climatic factors (land use and human mobility) and climate factors are important to consider for their impacts on VBD spread ,28,94. The interaction of land use and climate change will provide opportunities for pathogen exchange among geographically isolated wildlife, and thus in some cases will promote disease spillover . ProjectHuman mobility is also a major factor in the global spread of VBDs ,97. With2 emissions was found to weaken the aerosol cooling effect, which can lead to warming [The impact of the COVID-19 pandemic on climate change is debatable in the short term ,100,101; warming . These pBesides climate change, lack of vector testing and control activities ,105,106 However, lockdown policies have greatly reduced imported cases and blocked sources of VBD transmission ,111,112.In this paper, we summarized the different impacts of multiple climatic factors on the transmission and spread of VBDs in the context of climate change. Local climate exerts non-linear direct effects, resulting in rapid transmission in suitable conditions and decline in an unsuitable environment, with local temperature in particular showing a clear n-shape. Regional climate has an indirect impact on VBDs, affecting transmission through its effects on local climate, which by necessity produces a certain time-lag for the effect on disease transmission. Extreme climate events can increase the spread of disease, leading to the expansion of VBD distributions. Moreover, land use and human mobility have an important interaction effect on VBD spread, increasing the possibilities for spread and spillover. The impact of the COVID-19 pandemic on how climate change affects VBD transmission and spread is yet uncertain.Quarantine policies during the COVID-19 pandemic successfully blocked the import of VBD cases; this effective prevention and control policy is worth adopting and applying in the field of VBDs. Meanwhile, the impact of COVID-19 on climate change is controversial, and its potential effect on VBDs may gradually become clear in the future. Accordingly, it remains necessary to further explore the potential of COVID-associated climate change to drive effects on VBDs. Meanwhile, the improvement of surveillance systems in relation to the COVID-19 pandemic and the construction of a surveillance network are also worthy of application in VBD surveillance. With the continuous improvement of monitoring systems, it also becomes necessary to adopt methods from the fields of machine learning and artificial intelligence to handle large databases with complex algorithms in the future.There is still a lot of research worth undertaking with regard to climate change and VBDs. One important research direction is to integrate multidisciplinary factors to analyze the impact of climate change on VBDs, especially with reference to the fields of computer science, zoology, entomology, ecology, and epidemiology. Through the integration of multiple disciplines, we can not only better understand the impacts of climate change on VBDs, but also develop a deeper understanding of the occurrence and development mechanisms of these infectious diseases. Such findings could contribute to achieving a better understanding of how climate change drives effects on VBD risk and spread, thereby improving the prevention and control of VBDs and so improving human health."}
+{"text": "Recognizing an urgent need to understand the dynamics of the pandemic\u2019s severity, this longitudinal study is conducted to explore the evolution of complex relationships between the COVID-19 pandemic, lockdown measures, and social distancing patterns in a diverse set of 86 countries. Collecting data from multiple sources, a structural equation modeling (SEM) technique is applied to understand the interdependencies between independent variables, mediators, and dependent variables. Results show that lockdown and confinement measures are very effective to reduce human mobility at retail and recreation facilities, transit stations, and workplaces and encourage people to stay home and thereby control COVID-19 transmission at critical times. The study also found that national contexts rooted in socioeconomic and institutional factors influence social distancing patterns and severity of the pandemic, particularly with regard to the vulnerability of people, treatment costs, level of globalization, employment distribution, and degree of independence in society. Additionally, this study portrayed a mutual relationship between the COVID-19 pandemic and human mobility. A higher number of COVID-19 confirmed cases and deaths reduces human mobility and the countries with reduced personal mobility have experienced a deepening of the severity of the pandemic. However, the effect of mobility on pandemic severity is stronger than the effect of pandemic situations on mobility. Overall, the study displays considerable temporal changes in the relationships between independent variables, mediators, and dependent variables considering pandemic situations and lockdown regimes, which provides a critical knowledge base for future handling of pandemics. It has also accommodated some policy guidelines for the authority to control the transmission of COVID-19. Coronavirus disease 2019 (COVID-19) is a public health crisis that has afflicted more than 225 countries all over the world ,9,10,11.Furthermore, the socioeconomic makeup and institutional structure of a country can influence pandemic severity, human mobility, and the rigor of various lockdown measures. Our previous research investigated the complex relationships between the COVID-19 pandemic, lockdown measures, and people\u2019s social distancing and mobility behaviors . HoweverIn the preceding study , we empiConsidering that the early effort was limited by the cross-sectional nature of the analysis, where each population sample was observed at a single point in time, the present study situates the clinical, behavioral, social, and institutional aspects of the pandemic in a broader temporal context and examines sampled countries repeatedly at different periods to detect seamlessly any changes in the variables and parameters in different phases of the pandemic. Moreover, the availability of time-series data would ensure the dynamic properties and stability of our model, which is critically important to assess the vigor of the pandemic and better empower the world for effective action under changing socio-politico-medical contexts. Despite meaningful insights from the previous study after a few months of the pandemic, a longitudinal study comprising of time series data is necessary to capture the temporal aspects of the pandemic, how they evolve and influence the mobility of the people, and how people adjust with the changing environment. This spatial-temporal data analysis is critical to mitigating the pandemic efficiently by taking data-driven decision-making .What are the impacts of various lockdown measures on reducing people\u2019s mobility patterns and the severity of the pandemic?What are the consequences of the pandemic severity on mobility patterns and, therefore, on the practice of social distancing of people?What are the impacts of human mobility on the severity of the pandemic?What are the effects of socioeconomic factors of domestic populations and institutional arrangements and dispositions on population mobility and on the pandemic severity?Thus, this longitudinal study aims to investigate the evolution of complex relationships between the incidences of the COVID-19 pandemic, lockdown measures on populations, and their social distancing and mobility behaviors throughout the time of the pandemic from March 2020 to February 2021 across 86 countries of the world. Thanks to the integrated analytical framework of SEM, the following four research questions are formulated to understand the evolution of these intertwined relationships in different waves of the pandemic:The rest of the paper is organized as follows. A number of studies have investigated the complex relationships between the COVID-19 pandemic, lockdown measures, social distancing, and human mobility patterns. The following sub-sections summarize and discuss the associations between the conditions related to this pandemic after critically reviewing and analyzing previous studies.The COVID-19 pandemic has drastically changed mobility systems due to enacted lockdown and confinement measures, social distancing practices, and personal hygiene requirements, most strikingly with an increase in private travel modes and a decrease in public transport ,21,22. SHaving compiled mobility data of mobile phone users by country/region/sub-region/city, Apple Inc., Cupertino, CA, USA, has estimated changes in human mobility around the world . CompareMany studies have investigated the impacts of COVID-19 on human mobility patterns in more detail. For example, Bucsky calculatSimilarly, observing travel patterns of 1439 people in Switzerland, researchers in estimateSome studies also investigated how transport accessibility and human mobility may have stimulated the spreading of the COVID-19 virus. For example, researchers in quantifiHadjidemetriou, Sasidharan investigFrom the above discussion, it is conceived that COVID-19 and human mobility influence one another . A higheWhile the fear of infection and of serious health complications has gripped the state of mind of many segments of human societies, lockdown and confinement measures adopted by governments during the COVID-19 pandemic may have tangibly influenced travel patterns of people. A number of empirical studies have investigated and compared the movement of people before, during, and after the lockdown regimes to understand the impacts of NPIs on travel patterns ,37,38,39Saha, Barman investigResearchers in investigIn Australia, Beck and Hensher noticed 2 of 0.998. The model indicated that, after 6 weeks of the lockdown measures, confirmed cases had dropped threefold below the initial level, which sanctions the effectiveness of control measures to mitigate the severity of the pandemic. As a whole, lockdown and confinement measures may play a critical role in curtailing the transmission of viruses by reducing human mobility, contacts, interactions, and social gathering. Several studies have investigated the effectiveness of lockdown and confinement measures for travel restrictions on COVID-19 transmission in cities and regions. For example, applying a data-driven epidemic model, researchers in investigIn the same geographical context of India, Gupta, Mohanta used an Oum and Wang determinLockdown and confinement measures tend to curtail human mobility immediately, however, they may do so differentially according to trip purposes. In addition, incubation would delay the damping of infection cases and deaths by one or two weeks , hence, The socioeconomic status of people, living environments, and community structures are very important factors in viral diffusion. Much research has been conducted on the socioeconomic factors of COVID-19 transmission. These studies also investigated the temporal and spatial dependence in the associations of these factors with COVID-19 transmission. For example, Andersen, Harden studied Maiti, Zhang exploredSome studies also investigated the impacts of urban form on COVID-19 transmission. For example, Carten\u00ec, Di Francesco found thSome studies have also evaluated COVID-19 incidence in different environmental and climatic conditions. For example, researchers in quantifiHowever, adjusting for city-level socioeconomic and disease control factors , researchers in found onJust as the COVID-19 pandemic is conditioned by socioeconomic and spatial factors, so may human mobility, including aspects of travel mode choice, travel distance, and travel time. Some studies also investigated the variations in the mobility of people from diverse sociodemographic backgrounds and geographical contexts. For example, Molloy, Schatzmann observedCollecting travel flow data from 1436 administrative areas of mainland France, researchers in noticed Based on the comprehensive review of the extant literature summarized above, a conceptual framework is developed to study the relationships between lockdown measures, mobility patterns, pandemic severity, and socioeconomic and institutional factors of countries across all world regions . The conTo test and validate the conceptual model internationally at the scale of countries and determine the relative strength of the complex relationships between the factors outlined in Data related to changes in human mobility due to lockdown measures were collected from Google Mobility Reports ,75. ThisThe total daily number of coronavirus infection cases and death cases for the study period were sourced from Our World in Data, a research project at the University of Oxford . They coSEM is used to investigate the causal relationships between socioeconomic and institutional factors, lockdown variables, coronavirus infection and death rates, and social distancing measures and validate the model depicted in Human mobility : TS, RR, WP, and RDPandemic severity: l_case and l_deathLockdown measures: NL, WPC, SH, and SISocioeconomics and institutional factors: MA, AGE65, KOFGI, AE, SE, HE, FS, EI, and IDV.Based on exploratory factor analysis (EFA) and extant theories reviewed in the previous section of this article, latent dimensions are created to reduce dimensions and easily understand the data and represent underlying concepts. The following four latent dimensions are constructed: Moreover, a path diagram is constructed to graphically represent the interdependencies of the independent variables, mediators, and dependent variables in the model specification. Finally, a set of fit indices are estimated to establish the goodness-of-fit of the model. Two models evenly spaced on the timeline are estimated from each month from March 2020 to February 2021, to capture the temporal aspects of the pandemic, how they evolved and influenced the mobility of people, and how people learned and adjusted to the changing environment . Hence, The models were calibrated using the SEM Builder on the STATA 15 platform . The maxThe robustness of the calibrated models was assessed with several goodness-of-fit statistics, as presented in The Chisq/df values of all models presented in The direct, indirect, and total effects of lockdown and confinement measures on human mobility from 17 March 2020 to 28 February 2021 are depicted in In addition to their direct effect on social distancing patterns, lockdown measures can also have an indirect impact on humanThe impacts of lockdown and confinement measures on each of the factors of human mobility patterns can be estimated by the same token d. OveralConsidering the direct and indirect effects discussed so far, The impacts of COVID-19-related lockdown and confinement measures on overall pandemic severity, COVID-19 confirmed cases, and deaths, are presented in The direct, indirect, and total effects of the pandemic on human mobility over the study period are captured in The indirect impact b of the Drilling down deeper into human engagement in various activities, Combining direct and indirect impacts, The indirect impact b of humaCombining direct and indirect impacts, the overall trend c shows tThe direct, indirect, and total effects of socioeconomic and institutional factors on social distancing are presented in The indirect effects b of sociThe total impact of socioeconomic and institutional factors on social distancing measures c shows aThe direct, indirect, and total effects of socioeconomic and institutional factors on pandemic severity are shown in Indirect effects b of sociThe overall impacts c of sociConsidering the direct and indirect effects and their temporal variation, this study reported a negative association between lockdown measures and human mobility at the onfall of the pandemic from March 2020 to mid-May 2020. People maintained strong social distancing when the government imposed strict lockdown measures and restrictions on mobility. On the other hand, citizens defied social distancing practices when authorities eased lockdown measures between mid-May and mid-October 2020, and they aspired to go back to normal life and break the dullness of their confined life. However, a further reduction in human mobility was observed from November 2020 to mid-January 2021 due to the reinstatement of lockdown measures induced by the sharp rise in coronavirus cases and deaths. Thus, strict lockdown measures significantly reduced human mobility across countries, which upholds the findings from our previous study , where wWe have also shown that lockdown and confinement measures indirectly influence the COVID-19 pandemic by moderating social distancing/human mobility patterns. The study findings indicate that the pandemic severity intensified in some countries from March to May due to the inadequate practice of social distancing and from mid-October to February due to the increase in human mobility induced by relaxed lockdown measures and people\u2019s eagerness to return to normal life. However, the study noticed that adequate and timely adopted lockdown measures reduced the severity of the pandemic from June to mid-October, which corroborates the findings from previous studies ,86,87,88Socioeconomic and institutional conditions encourage people to practice social distancing , considering the greater vulnerability of the elderly, higher treatment costs, higher level of globalization, increasing employment in the service sector, decreasing employment in agriculture, and the degree of independence in national societies. These factors also motivate people to maintain social distancing while the pandemic is more severe and lockdown measures are more strict, considering the greater risk of COVID-19 infection due to fragile public health conditions, higher risk of infection from globalization, and open interactions. Thus, socioeconomic and institutional factors have significant impacts on maintaining social distancing to reduce the severity of the pandemic ,90,91.This study also found a significant impact of socioeconomic and institutional factors on the severity of the pandemic. Considering direct and indirect impacts, we observed that socioeconomic and institutional factors increased the severity of the pandemic due to a higher number of elderly people who are physically susceptible to COVID-19, a higher level of globalization, increasing employment in the service sector, a reduction in agriculture, and a higher degree of independence in society. Thus, socioeconomic and institutional factors increase the severity of a pandemic by reducing social distancing practices and increasing human mobility for essential and non-essential purposes ,90,91,92The study found mixed effects of the COVID-19 pandemic on maintaining social distancing. The negative association at the early stage of the pandemic (March to June) indicates that the increasing severity of the pandemic reduced human mobility and increased time spent at their residence. Early on, people reduced their movement due to lockdown measures and self-awareness induced by fear of infection, which endorses the findings from previous studies ,26,93,94Investigating the impact of human mobility on pandemic severity, we observed a strong negative and sustained impact of mobility/social distancing on pandemic severity throughout the study period compared to the baseline scenario, with the greatest impacts in late December 2020 and early January 2021. The study showed that countries with a sharper reduction in personal mobility had experienced an increased severity of the pandemic due to the absence of other NPIs and the possibility of infection from other family members while home confinement. Thus, maintaining social distance lessens the severity of the pandemic by reducing human trips to retail and recreations, transit stations, and workplaces and encouraging people to stay at home, which confirms the results from previous studies ,95,96. HGiven the adverse effects of the COVID-19 pandemic, there is a pressing need to understand the root causes of the pandemic, associated risks, and conditions that exacerbate its impacts and promising mitigation measures. This study intended to perform a longitudinal study spanning a great diversity of countries, with data from March 2020 to February 2021. The main objective of this longitudinal study was to explore the evolution of complex relationships between the incidence of the COVID-19 pandemic, lockdown measures on populations, and their social distancing and mobility behaviors in 86 countries. A conceptual framework was developed to hypotThe study results indicate that implementation of lockdown and confinement measures are necessary to reduce human mobility and encourage people to stay home to control COVID-19 transmission through community infection. However, delayed implementation of lockdown measures, relaxation of lockdown measures, and people\u2019s failure to maintain social distancing and their travel for work and discretionary activities can worsen the pandemic. Thus, it is suggested to evaluate mobility changes after the implementation of lockdown measures, which can guide policymakers on when to implement stricter lockdown measures or ease them, to curtail the diffusion of coronavirus. The study also found that national context defined by socioeconomic and institutional factors influences social distancing patterns and the severity of the pandemic. Additionally, this study observed an intertwined two-way association between the COVID-19 pandemic and human mobility. Higher severity of the pandemic reduces human mobility and on the other hand, higher human mobility increases the severity of the pandemic. However, the impact of human mobility on pandemic severity is stronger and more significant compared to the reverse relationship. Overall, the study displays considerable temporal changes in the relationships between independent variables, mediators, and dependent variables considering pandemic situations and lockdown regimes.Several policy decisions have been outlined based on the analysis. The timely implementation of strict and comprehensive lockdown and confinement measures is critical to mitigating the severity of the pandemic by reducing the movement of people and person-to-person interactions. Moreover, estimating the changes in human mobility during lockdown periods is an effective policy option to evaluate the social distancing patterns of people. If necessary, a targeted campaign among the less responsive communities or individuals could be effective in enhancing social distancing practice, in addition to vaccine administration at a large scale ,100. SinAlthough this study has revealed the changing faces of the pandemic and provides significant policy implications, adopting an SEM using actual longitudinal data and showing temporal effects in path diagrams could reveal complex causal relationships between COVID-19 pandemic, lockdown measures, and human mobility . Since mThe goodness-of-fit statistics of the models showed a"}
+{"text": "Decision Support Systems (DSS) are appropriate tools for guiding policymaking processes in Mental Health (MH) management, especially where a balanced and integrated care provision is required.To assess the performance of a MH ecosystem for identifying benchmark and target-for-improvement catchment areas according to the Balanced Care model.The MH provision, distinguishing inpatient, day and outpatient main types of care, has been assessed in the Mental Health Network of Gipuzkoa using a DSS, integrating Data Envelopment Analysis, Monte-Carlo Simulation and Artificial Intelligence. 13 catchment areas, defined by a reference MH centre, are the units (universe) for the analysis. The indicators for MH ecosystem performance were: relative technical efficiency, stability and entropy, for identifying both benchmarking and target-for-improvement areas. The analysis of the differences between the two groups can be used to design organizational interventions.The Mental Health Network of Gipuzkoa showed high global efficiency scores, but it can be considered statistically unstable . For a global performance improvement, it is recommended to reduce admissions and readmissions in inpatient care, increase workforce capacity and utilization of day care services and, finally, increase the availability of outpatient care services.This research offers a guide for evidence-informed policy-making to improve MH care provision in the main types of care and provide aftercare. The characteristics of the area to be improved are critical to design interventions and assess their potential impact on the MH ecosystem.No significant relationships."}
+{"text": "The coronavirus disease (COVID-19) presented a unique opportunity for the World Health Organization (WHO) to utilise public health intelligence (PHI) for pandemic response. WHO systematically captured mainly unstructured information for public health intelligence purposes. WHO used the Epidemic Intelligence from Open Sources (EIOS) system as one of the information sources for PHI. The processes and scope for PHI were adapted as the pandemic evolved and tailored to regional response needs. During the early months of the pandemic, media monitoring complemented official case and death reporting through the International Health Regulations mechanism and triggered alerts. As the pandemic evolved, PHI activities prioritised identifying epidemiological trends to supplement the information available through indicator-based surveillance reported to WHO. The PHI scope evolved over time to include vaccine introduction, emergence of severe acute respiratory syndrome coronavirus 2 (SARS-CoV-2) variants, unusual clinical manifestations and upsurges in cases, hospitalisation and death incidences at subnational levels. Triaging the unprecedented high volume of information challenged surveillance activities but was managed by collaborative information sharing. The evolution of PHI activities using multiple sources in WHO\u2019s response to the COVID-19 pandemic illustrates the future directions in which PHI methodologies could be developed and used. The World Health Organization (WHO) uses public health intelligence (PHI) as one element of its approach to improve population health. A PHI approach encompasses the detection, verification, risk assessment and investigation of events that pose a potential risk to human health, and communicating this information for effective decision making and action -3. PubliEvent-based surveillance involves the detection, triage and verification of new public health threats and changes in ongoing events. Signals, defined as raw data or information with potential acute human health risk , are detOne of the tools used by WHO for PHI to monitor all hazards, including COVID-19, is the Epidemic Intelligence from Open Sources (EIOS) system . Here, pWith the emergence of COVID-19, additional event-specific criteria were established and adapted over time to reflect the pandemic\u2019s evolution and the evolving response needs. These additional criteria were determined as a result of a discussion between a team of WHO epidemiologists who took into account surveillance objectives and scope, the epidemiological context in which the pandemic took place, and available human resources. The criteria were continuously reassessed every several months, or when the characteristics of the pandemic changed. COVID-19 PHI provided a more complete understanding of disease dynamics rather than relying on IBS alone.The EIOS system was one component key for WHO PHI activities during the COVID-19 pandemic. EIOS is an adaptable, user-oriented and constantly evolving web-based system designed to support, augment and accelerate PHI activities. It is used by communities and organisations from national to international levels . The EIOPrior to the detection of COVID-19, the WHO was conducting standardised EBS daily, employing an all-hazards approach and using official government reports, EIOS and other sources of information. Building on this established mechanism at the onset of the pandemic, the WHO intensified EBS to track initial cases and deaths from COVID-19 while an IBS system was being established to complement International Health Regulations (2005) reporting mechanisms. Due to the volume of information, the number of analysts dedicated to screening for COVID-19-related events was increased. In addition, a separate set of filter criteria was created within the EIOS system exclusively for monitoring information related to COVID-19, which reduced the volume of articles on the routine EBS boards. Systematic information sharing for COVID-19-related signals and events was put in place among WHO country offices, Regional offices and headquarters.Since the first detection of COVID-19 cases, the processes and scope for COVID-19 EBS activities have evolved to reflect changing response priorities. During the early months of the pandemic, EBS complemented official COVID-19 case and death reporting according to the International Health Regulations (2005) and trigThe scope of PHI evolved over time to include vaccine introduction, emergence of severe acute respiratory syndrome coronavirus 2 (SARS-CoV-2) variants, unusual clinical manifestations, upsurges in cases, hospitalisations and deaths at subnational level. Granular information collected through PHI provided valuable contextual information, which is not always available through IBS sources alone, including the burden on the health system and at-risk and vulnerable groups such as healthcare workers, rapid response teams, indigenous populations, children, pregnant women, elderly people and refugees.The PHI approach combined signals detected via EBS and IBS along with contextual information which provided WHO response teams that supported the assessment and interpretation of COVID-19 epidemiological situations at national and subnational level. Analysts working on COVID-19 PHI activities validated and risk-assessed relevant signals, and communicated them through internal and external information products, including WHO Regional weekly briefing documents and the WHO\u2019s weekly epidemiological update on COVID-19 . In addiBetween 31 December 2019 and 31 December 2021, 4,794 COVID-19 signals were detected and followed up by the WHO at the global level using the EIOS system .In May 2021, the WHO developed a situational alert system to support the early detection of countries where immediate action may help to mitigate the impact of a COVID-19 surge on morbidity and/or mortality. From May 2021 to June 2022, a collaborative, multi-disciplinary, mixed-methods process took place weekly, integrating information and input from teams across the three levels of the organisation. The first stage of the situational alert system employed an automated statistical risk assessment algorithm, based on daily incidence of cases and deaths, to predict COVID-19 disease severity within the near future. This produced an initial alert level for each country. The second stage integrated a PHI-based qualitative context assessment, which provided important information including pressure on the healthcare system; the impact of other concerning epidemiological signals such as concurrent outbreaks and large changes in circulating variants of concern; and the impact of factors affecting response activities such as acute events resulting in insecurity, or mass gatherings and population movement. This was combined with information on vaccination coverage, public health and social measures, and an assessment of the trust in available data for each indicator to produce a standardised recommendation for whether a country should be maintained at the initial alert level, or whether it should be updated. Based on this, teams at WHO global and regional levels jointly agreed on a final classification where the process supported a shared understanding of risk and operational priorities across the COVID-19 incident management teams at different levels of the organisation and, for specific contexts, the rapid release of response funds, distribution of oxygen, distribution of testing supplies, and technical support.WHO was able to effectively adapt its PHI processes and systems including EIOS to align with surveillance strategies across different WHO offices as the pandemic evolved. An example of the unique adaptations implemented at the regional level was seen in the Western Pacific Region. Here, a media statement on cases of \u2018unknown viral pneumonia\u2019 in China (the first detection of COVID-19 cases) was detected through routine EBS processes on 31 December 2019 . EIOS piAdditionally, the WHO and partners conducted PHI for mass gathering events from December 2019 to December 2021, including the Union of European Football Associations championship that took place in 11 countries in Europe, the Tokyo Olympic and Paralympic Games in Japan, Hajj in Saudi Arabia, Al-Arbaeiin in Iraq and the World Handball Championship in Spain.There are many strengths to the COVID-19 PHI activities implemented by WHO during the pandemic. WHO was able to develop a PHI approach throughout the course of the pandemic, used the findings to guide response activities and later to contextualise and supplement information derived from EBS and IBS as processes were established. The WHO\u2019s PHI activities have remained flexible, scalable and resilient, adapting to the changing epidemiological context and availability of the WHO and partners\u2019 person-time. Furthermore, the location of COVID-19 PHI activities within WHO\u2019s Health Emergencies Programme and the Incident Management Support team structure was essential for coordinating and collaborating with key technical experts, ensuring relevancy and usefulness of information gathered, in order to better support Member States.While the WHO\u2019s experience with PHI during the COVID-19 pandemic illustrates its value for the timely detection of health threats using muIn response to these limitations and challenges, several initiatives have been developed to improve EBS activities for COVID-19 and other public health events. WHO offices established a COVID-19 PHI working group to strengthen collaboration, maximise resources and brainstorm solutions. From 31 March 2020 to 31 December 2021, the working group initiated a collaborative use of the EIOS system as one tool for detecting relevant information. The working group also provided regular feedback to further improve the process, including enhanced signal detection and verification, broadening of source types, geographical and language coverage and the use of tools to optimise shared workflows in rapid signal detection and monitoring. In addition to establishing the working group, WHO increased the number of personnel working on PHI, added and formalised trainings on PHI activities for COVID-19 and conducted a survey-based assessment of the system to further understand its strengths and weaknesses.Public health intelligence is a rapidly evolving approach that is necessary for WHO and Member States . The COV"}
+{"text": "Rhizopus microsporus var. microsporus through culture for fungi and PCR examination.COVID-19 disease caused by the SARS-CoV-2 coronavirus causes a wide range of clinical manifestations, ranging from mild to severe, with the main ones affecting the respiratory tract, such as pneumonia. In patients with greater severity, the high frequency of bacterial and fungal coinfection stands out, a situation related both to the patient's pre-existing comorbidities and due to the hospitalization itself. Cases of mucormycosis associated with COVID-19 were highlighted in the lay and scientific media, with the increase in mycosis cases being directly and indirectly attributed to the viral infection. This report describes a case of rhino-orbito-cerebral mucormycosis in a diabetic patient hospitalized for COVID-19, whose diagnosis was confirmed by identifying the agent Rhizopus sp. reported eye pain and a decrease in visual acuity on the right eye for ten days, which started during a recent hospital stay in another hospital for COVID-19. His medical file reported treatment with corticosteroids, unspecified antibiotic therapy, and respiratory physical therapy. He was discharged from this hospital and immediately sought the service with edema and intense erythema on the right conjunctiva, mild erythema on the upper eyelid , and ocuopus sp. . The colRhizopus and Mucor genera.5Mucormycosis is a rare, opportunistic, globally distributed fungal disease whose physiopathology is centered on angioinvasion that leads to tissue necrosis. Among the most often described etiological agents are the coenocytic fungi of the In a study conducted before the COVID-19 pandemic, 71% of the world's cases of mucormycosis were reported in India.SARS-CoV-2 also promotes changes in the host, especially in the severe forms of infection, favoring the development of mucormycosis agents. Among them are the direct damage to pancreatic cells, causing acute DM and ketoacidosis, the use of corticosteroids, which alter glycemic homeostasis and indirectly favor the progression of mycosis, the alteration of iron metabolism leading to an internal environment with high rates of ferritin, a key factor for the development of the fungus, and finally, endothelitis caused directly by the virus, facilitating fungal angioinvasion.The case described herein maintains the classic line of mucormycosis presentation, the rhino-orbito-cerebral type, in a patient with a history of DM, who shares another severity factor, COVID-19 infection. Prompt and correct treatment with antifungals and surgical approaches resulted in a disfiguring outcome, but with the preservation of the patient's life in this serious and fatal disease.None declared.Sandy Daniele Munhoz: Design and planning of the study; data collection; analysis and interpretation of data; drafting and editing of the manuscript; obtaining, analyzing, and interpreting data; critical review of important intellectual content; intellectual participation in the propaedeutic and/or therapeutic conduct of the studied cases; critical review of the literature.Rute Facchini Lellis: Analysis and interpretation of data.Ana Paula Carvalho Reis: Analysis and interpretation of data.Gilda Maria Barbaro Del Negro: Obtaining, analyzing and interpreting data.Maria Gl\u00f3ria Teixeira Sousa: Analysis and interpretation of data.John Verrinder Veasey: Design and planning of the study; data collection; analysis and interpretation of data; drafting and editing of the manuscript; critical review of important intellectual content; effective participation in research orientation; intellectual participation in the propaedeutic and/or therapeutic conduct of the studied cases; critical review of the literature; approval of the final version of the manuscript.None declared."}
+{"text": "Biomolecules demonstrates the almost unlimited possibilities of modern protein engineering in gene expression, protein production and modification, as well as the design and creation of new proteins. The research teams behind the articles included in this Special Issue deal with a variety of proteins of possible medical and/or biotechnological interest, but all of these proteins apply state-of-the-art protein engineering techniques in their research. These techniques include the engineering of chimeric bispecific antibodies, modification of protein stability, enzyme activity and specificity, multiple mutagenesis to analyze the role of amino acid residues in functionally important regions of proteins, etc. This Special Issue of Developing the theme of the membrane-active properties of cytochrome c, Chertkova R. and coworkers evaluateXenopus oocytes and three of them showed enzymatic activity. RhoPDE from Choanoeca flexa exhibited the highest value of light/dark activity ratio. Protein engineering of natural enzymes can be used to improve their properties for optogenetic applications. For example, point mutations in the SrRhoPDE catalytic domain demonstrated the reduced dark activity of this enzyme. Rhodopsin phosphodiesterases (RhoPDEs) possess light-regulated enzyme activities towards cGMP and cAMP and can be used as optogenetic tools. Tian et al. expresseRybchenko V. et al. describePseudomonas sp. E2-15 [Exiguobacterium sibiricum (EsOgl) [Extremophilic enzymes are of special interest for biotechnology due to their unusual properties and activity in specific conditions. The Special Issue includes two papers in which new examples of such enzymes are reported, including a novel esterase Est19 from the Antarctic bacterium p. E2-15 and a coIn the paper by Khan et al. , new bioT. thermophilis and similar chaperones, their domains and mutants obtained in their laboratory and described in the literature, and discussed their possible biotechnological applications for scientific and biotechnological purposes.In their review, Yurkova M. and Fedorov A. describeBiomolecules includes research and review papers that use the best methods of modern protein engineering to modify and investigate proteins of biomedical importance. The studied proteins include therapeutic antibodies, cytochrome c, GroEL, extremophilic enzymes and others. The data obtained may be of great interest for a better understanding of the structure and structural\u2013functional relationships in proteins and their possible use for the development of new therapeutic and biotechnological forms.To conclude, this Special Issue of"}
+{"text": "The active development of psychosocial rehabilitation (PSR) has been taking place in Russia within latest two decades. In this regard, analysis of the accumulated experience and problems\u2019 identification in the PSR field is relevant.Conducting a sociological study in the Volga Federal District (VFD) to work out measures for further PSR system development.Sociological, statistical, original semi-structured questionnaire on PSR application, including 26 questions.63 institutions providing psychiatric care in 14 large regions of the VFD participated in the study. Achievements in the field of PSR include: introduction of new forms of rehabilitation care, modern psychosocial interventions; development of the volunteer sector and others. A number of systemic problems were also identified: more pronounced decrease in the availability of psychiatrists in VFD compared to the Russian Federation (RF) as a whole ; insufficient provision with psychotherapists, psychologists, social workers, which varies considerably in different territories (up to 10 times); insufficient use of non-profit organizations\u2019 (NPOs) potential; lack of a unified system for assessing PSR effectiveness.Measures for development of PSR were proposed: improving staffing levels and qualifications of employees, introducing psychosocial interventions with proven effectiveness; dissemination of successful experience of NPOs, development of methodological tools for assessing effectiveness of PSR, its standardization and others."}
+{"text": "Program targets professionals from Ministries of Health, including Immunization and Screening Program Managers, and cervical cancer stakeholders.Under the framework of the Global Strategy to Accelerate the Elimination of CC as a Public Health Problem, The University of Texas MD Anderson Cancer Center (MD Anderson), the US National Cancer Institute (NCI), and the Pan American Health Organization (PAHO) partnered to develop the Project ECHO for the elimination of CC in Latin America (ECHO ELA). ECHO ELA is modeled on Project ECHO\u00ae a hub-and-spoke knowledge-sharing approach where expert teams lead virtual didactic lectures and case discussions, building capacity for participants to deliver best-practice programs to their regions.In the first year of the program (2020-2021), 294 participants from 22 countries were registered. Fourteen sessions were held averaging 77 participants per session on topics spanning comprehensive program planning, presenting country experiences on HPV vaccination strategies, new technologies for screening and treatment. Eighteen participants completed the post survey addressing priorities, capacity, and desired outcomes, and two focus groups collected facilitators/barriers to achieving goals.ECHO ELA is potentially an effective tool to enhance collaboration and support countries\u2019 progress towards the elimination of CC."}
+{"text": "Editorial on the Research TopicDigital health adoption: Looking beyond the role of technology By Kyratsis Y, Scarbrough H, Begley A and Denis J-L. (2022) Front. Digit. Health. 4: 989003. doi: 10.3389/fdgth.2022.989003Accelerating the adoption of proven digital health technologies and advancing their embedding into routine care operations has the potential to revolutionize human health by boosting efficacy, driving costs down, and increasing access to and capacity for care delivery . It can Shaw and Donia propose a broader socio-technical approach to the ethics of digital health, which spans domains from software, devices and supply chains to inter-personal relationships, organizational and government policies. They emphasize issues of social justice, the need to address inequalities in digital access and advocate anticipatory forms of governance to minimize potential negative consequences. Greenhalgh et al. discuss a conceptual framework\u2014PERCS\u2014used to evaluate remote healthcare consultation services in the UK. The authors focus attention on digital maturity and digital inclusion, examining seven inter-related domains, spanning from the reason for consultation, to patients, care delivery, home and family and the wider system. They identify tensions and contradictions along these domains and elaborate on related practical ethical issues. Shaw et al. analyze the accelerated implementation of video consulting during the COVID-19 pandemic. Using comparative and interpretive policy analysis, the authors identify key variations across the four UK health systems in terms of enabling and limiting conditions at both policy and delivery levels. The authors also caution against inequalities in accessing video consulting services.Reflecting on adoption Nantume et al. explore the commercialization of a wearable vital signs monitor in low resource settings and argue for a holistic implementation perspective, from idea and product design to market. They highlight implementation being intertwined with development and evaluation, involving local stakeholders as co-creators. The authors also stress the role of social dynamics, such as trust in regulatory authorities, and public misperceptions about the technology. Rainey et al. in their survey study explore perceptions of AI by UK radiographers for successful application and integration into clinical practice. The authors highlight important aspects of the professional roles of clinicians, and the need for learning, capability-building and de-mystification of the opacity of AI-in use. Bouabida et al. evaluated two platforms for remote patient monitoring following hospital discharge in the context of COVID-19 in Canada. The authors highlight issues of social acceptability by diverse stakeholders during adoption, maintaining human contact and balancing concerns for confidentiality and data security. They underline the need for user participation in technology development and deployment, also bringing to the fore organizational, social and ethical aspects.Bennet et al. describe the experience of ID-Liver implementation and use in northern England for integrated, pro-active management of patients at risk of developing chronic liver disease. From setting up to piloting and using ID-Liver, the authors argue for the need to mobilize a network of collaborators including commercial partners, healthcare organizations and professionals. Yan et al. in their commentary on digital therapeutics raise the broader question of cost and reimbursement. The authors identify a set of dilemmas for policy-makers, which are related to the specificities of digital therapeutics including the ability of patients to afford and use technological devices and the possibility of reimbursing these therapeutics. Cripps and Scarbrough present a perspective on a sustainable approach to digital applications in the UK's NHS. The authors argue to shift the focus from the technology itself to considering the motivations of users and constraints within specific contexts. They advocate for a wider approach to change that incorporates clinical and behavioral insights, process engineering and knowledge management.Co-creating through digital inclusion and user engagement. (b) Bridging local and trans-local stakeholders including partners from the wider economy and the private sector. (c) Adapting to ethical issues and social forces, beyond technical and clinical aspects, such as public (mis-)perceptions, professional and organizational dynamics, regulatory elements, as well as issues of cost and reimbursement. (d) Demystifying the opacity of digital health applications and assessing digital maturity in practice.The papers' contribution can be grouped into four themes, which highlight key non-technology related aspects of digital health adoption : (a) Co-five key levers that can help drive more effective digital health technology adoption.1.Understanding and responding to the needs and preferences of diverse individuals and communities is critical . A number of authors highlight inequalities in digital health. While inequality is often considered at the point of care in terms of the ability of patients and clinicians to use technology, inequalities also arise when more marginalized groups are unable to voice their concerns and preferences upstream, and to influence the development and evaluation of digital innovations. Aptly, the question of co-creation underpins many papers in the collection.2.Early and active stakeholder engagement in both design and technology use . This highlights the need to partner with and incentivize innovators (including the private sector) to bring in their technical expertise , as well as effective collaboration with patients, healthcare providers and commissioners.3.Building the capability and confidence of all actors to acknowledge and raise quality, privacy, security and safety concerns relating to digital health care . Reskilling, learning and modifying professional roles play a vital role in adoption as the Rainey et al. paper illustrates.4.Adopting a holistic, rather than a piecemeal approach to build a supportive ecosystem. This suggests the need for a long-term strategy, appreciating politics, the regulatory groundwork, reimbursement mechanisms, cost .5.Considering seriously the wider ethical implications of digital health to establish and maintain trust, transparency and accountability.Reflecting on implications for policy and practice, the papers in this Research Topic highlight"}
+{"text": "The Silk Road, a historical network of interlinking trade routes across the Afro-Eurasian landmass, was of great importance to the transport of peoples, goods, and ideas between the East and the West. Although its main use was for importing silk from China, traders moving in the opposite direction carried to Central China jewelry, glassware, and other exotic goods from the Mediterranean, jade from Khotan, and horses and furs from the nomads of the Steppe. In historical records, communication between China and Central Asia has been unbroken ever since the opening of the Silk Road in the Han Dynasty. However, relics unearthed from archaeological sites indicate that communication between people along the Silk Road began during the Bronze Age. The Silk Road brought together the achievements of the different peoples of Eurasia to advance the Old World as a whole.Ethnic groups with different religions, cultures and customs inhabited the Ancient Silk Road and experienced complex histories. Patterns in genetic variation between individuals can tell us about the population history of these groups. In recent years, using relatively direct means of studying ancient samples through osseous material, alongside indirect means of analyzing the genomes of modern populations, demographic history\u2014migrations, expansions and colonizing events - have been progressively revealed in numerous genetic studies of early human populations. However, until the present, the origins of the populations along the Ancient Silk Road and relationships have been examined in far less detail.Kairov et al.; Allen et al.; Guarino-Vignon et al.) or microarray technologies , or various kinds of markers, including mtDNA , Y chromosome , forensic STRs , SNPs , and InDels data For example, a novel 6-dye direct and multiplex PCR-CE-based typing system has now been validated and could be considered as a reliable tool for human identification and intercontinental population differentiation In this special editorial, we collected 15 genetic investigations involving the populations living along or related to the Silk Road from ancient times to the present day. These studies approach academic and public Research Topic of the targeted populations through genome-wide sequencing .The eastern end of the Silk Road lies on the middle reaches of the Yellow River. The Shimao site in Shaanxi Province is an important Neolithic archaeological culture in this area. To further reconstruct the genetic structure of Silk Road-related populations, it is necessary to understand the genetic compositions of such early local populations as these. The Shimao population showed a mostly local origin and showed a maternal affinity with Taosi site, a Longshan culture population in the middle Yellow River valley . The former site dates back to the Han Dynasty (118BCE-191CE) and the latter to the Wei - Jin Dynasties and Sui and Tang Dynasties (220CE- 907CE). For the two sites, from the paternal Y-chromosome perspective, all male individuals showed the Sino-Tibetan speaking origin of Yellow River-related populations, while Foyemiao samples demonstrated a higher proportion of an Altaic speaking and North Eurasian ancestral component, alongside a small proportion of southern East Asian ancestry. From the maternal perspective, female Heishuiguo individuals showed a northeast Asian origin and revealed a sex-biased migration from the middle and lower reaches of Yellow River to Hexi corridor. This was consistent with evidence in historical records, especially unearthed slips and was an integral component of the eastern section of Silk Road. Heishuiguo site and Foyemiao site lie in the central and western portion of the Hexi corridor, respectively Another site, Shichengzi, a Han Dynasty agricultural garrison, also located in ancient Xinjiang, has revealed to us genetic makeup of a Frontier population in early imperial China . Archaeogenomics at Shichengzi has revealed two subgroups with East Asian origin and Northeast Asian origin, respectively, occupying a single burial space. Interestingly, stable isotope analysis showed that dietary patterns among site inhabitants could be split among agro-pastoral and agricultural groups. Considering ancient DNA and stable isotope evidence together, it has been argued that Northeast Asian origins of Altaic pastoralists and East Asian origins of Han agriculturalists lived together in the Shichengzi military outpost.Population admixture also can be observed in the Western Regions (present Xinjiang), where individuals at the Xiabandi reveal genetic flow from Central Asian populations and thus the influence of Middle and Late Bronze Age steppe pastoral cultures , Kazakh , Hui , Dongxiang , Bonan , Yugur , Salar , Mongol , and Manchu groups have been investigated using genetic markers and/or genome sequencing at the population level. Generally speaking, population from the same language group exhibit a closer genetic affinity. Furthermore, the Turkic-speaking population from China and Kazakhstan both present a closer genetic relationship to Central Asian populations, while Hui and Tungusic-speaking populations had a significant admixture with Han Chinese. Mongolian\u2019 mitochondrial genomes show a dominant East Asian related ancestry, an outcome of Bronze Age events and Mongol Empire expansion along the Silk Road.The Altaic language family is divided into Mongolic, Tungusic and Turkic language groups. Altaic speaking nomads played an important role in shaping the northern steppe Silk Road. However, their history is often only recorded sporadically in ancient writings of surrounding civilizations. In this special edition, the genetic history of Uyghur .In addition to the northern steppe Silk Road, the Tea and Horse Ancient Road or South Silk Road were another part of the ancient Silk Road. Beginning at approximately 1200\u00a0years ago (Tang Dynasty), the Tea and Horse Ancient Road emerged as a famous caravan road system for tea, salt and horse trading in Southwest China. Guizhou Province, located near the Tea and Horse Ancient Road has been documented as a critical depository of substantial sociocultural, genetic, and linguistic diversity for studying southern Silk Road related populations. The southern Han constitute the majority ethnic group within Guizhou. Guarino-Vignon et al.). The use of recent aboriginal paleogenomes, combined with the genomes of related modern humans, will help us to understand further details of the genetic history of regional populations.At the western end of the Silk Road, Guarino-Vignon et al. found that a bronze age individual from Oxus Civilization at the Ulug-depe site in Turkmenistan, shared genetic affinity with a local BMAC population, and further revealed that modern Central Asian Indo-Iranian\u2013speaking populations primarily harbored ancient BMAC related ancestry (In summary, this special edition focuses on the population history along the Silk Road, covering the eastern limits of the Silk Road, the Western Regions, the northern steppe, and southern Tea and Horse Ancient Road, and western end. The genetic diversity and population structure of modern populations in these regions are dissected using ancient forensic markers. Moreover, combined with modern human DNA data, ancient DNA researches discuss the formation of targeted populations in greater detail. In future work, fine temporal-spatial scales using enlarged sample sizes should be considered when outlining changes in population dynamics along the ancient Silk Road."}
+{"text": "Diagnostics of Apocalyptic variant of end-world Delusion with Religious Content (ADRC) in schizophrenia is related with insufficient exploration and recognizability, despite the severity of the state, social risks and resistance to psychopharmacotherapy.To define psychopathological and phenomenological features of ADRC in schizophrenia, to identify the clinical dynamics of delusional disorders due to specifics of the delusional behavior, and to develop diagnostic and prognostic criteria.28 patients with ADRC in schizophrenia were examined . Clinical-psychopathological and statistical methods were applied.Delusional ideas of end-world, Apocalyptic variant, occurred in the structure of affective-delusional state . Two types of ADRC were identified: with the predominance of acute sensory delusions of perception and with the predominance of visual-figurative delusions of the imagination. These types differed in the severity and depth of psychotic manifestations and in the specifics of a delusion formation, were characterized by the mono- or polythematic delusional disorders.Cases of ADRC differ both in the clinical-psychopathological specifics of delusional constructions, and in the socio-behavioral aspect. Among these cases, there is a high risk of delusional destructive behavior, with auto-aggressive, suicidal attempts and hetero-aggressive behavior. In cases with ADRC the strong persistence of delusional pseudo-religious beliefs occurs, with the refusal of any medical and psychological assistance, as well as implication of socially dangerous acts associated with the spread of delusional ideas and their induction of religiously inclined persons, which leads to the emergence of pathological pseudoreligiosity .No significant relationships."}
+{"text": "I believe that business is nothing more than a group of people trying to make a difference.\u201d\u201c\u2014Sir Richard BransonAntimicrobial Stewardship and Healthcare Epidemiology (ASHE) journal is a momentous step for the scientific mission of the Society for Healthcare Epidemiology of America. All of us on the editorial team are both honored and deeply excited about the future of ASHE. Before looking forward, it is important for us to pause and reflect on the multiple events of the last year and the coronavirus disease 2019 (COVID-19) pandemic to gain a better perspective on and clear commitment to what lies ahead.The launch of the open-access The COVID-19 pandemic affected us in multiple ways. As healthcare epidemiologists and healthcare providers across varied components of the healthcare delivery spectrum, we faced tremendous challenges in infection prevention, patient quality and safety antimicrobial stewardship, disinfection, the use of personal protective equipment, diagnostic testing and the clinical management of SARS-CoV-2 infected patients. All of this was coupled with rapid scientific discovery and dissemination in the medical literature.The COVID-19 pandemic further exposed the many weaknesses in the fabric of society, including significant healthcare disparities by race and inequalities in access and outcomes for individuals with COVID-19. The tragic death of George Floyd reignited an intense awareness of racism, diversity, justice, equity, and intersectionality. The year 2020 also witnessed an explosion of misinformation across multiple spheres including medicine and politics. More than ever, the medical infodemic underscored the important role of epidemiologists as both content experts and scientists to drive an evidence-based public health response in critical times.These unique times shaped the vision of ASHE. The journal is committed to the rapid dissemination of high-quality, timely, evolving science in antimicrobial stewardship and healthcare epidemiology in an open-access model, to serve both developed and low- and middle-income countries. To do so, we are committed to diversity in professional backgrounds, nationalities, and gender across the editorial team, such that journal leadership reflects not only the membership of the Society for Healthcare Epidemiology of America but also the antimicrobial stewardship and healthcare epidemiology community at large. Next, we will seek innovative original science, reviews, and commentaries that represent a diversity of perspectives, issues, evolving challenges, and controversies in the varied field of healthcare epidemiology and antimicrobial stewardship, with the ultimate goal of maximal content accessibility to a worldwide readership. Additionally, SHEA members will benefit from a highly discounted rate and the journal will waive publishing costs for invited reviews.Authors submitting to ASHE will find that the journal provides constructive peer review, competitive turnaround times, immediate online publication, and social media promotion. As a fully gold open-access journal, ASHE readers will benefit from free and easy access to all journal content, bringing the widest possible impact, reach, and discoverability for our authors and readers. The journal is engaged in efforts to ensure that article processing charges (APCs) are not a barrier to publication. Our publisher, Cambridge University Press, has recently signed a number of read-and-publish agreements with hundreds of institutions worldwide, which will cover APCs for corresponding authors from those institutions. APCs for authors from low- or middle-income countries will be waived or discounted through initiatives like Research4LifeAs we move forward and view the COVID-19 pandemic in the rearview mirror, we must not forget the valuable lessons learned from scientific responsiveness and the publication of high-quality science, under a vigorous peer review, in an open-access manner. With a diversity of both content and contributors, ASHE will aim for a global audience for advancing patient safety, antimicrobial stewardship, and healthcare epidemiology, with the aspiration of making a difference."}
+{"text": "The Yellow River basin spans nine provinces and autonomous regions and plays an important role in China's economic and social development and ecological security. However few studies have integrated the concept of carbon neutrality into research to evaluate the carbon-neutral development level. This paper calculates the comprehensive evaluation value of the provincial carbon-neutral capacities comprehensive evaluation index in the Yellow River basin through the driving-force-pressure-state-impact-response (DFPSIR) index system and the global entropy method based on provinces data between 2008 to 2019. The final results indicated that from 2008 to 2019, the carbon-neutral capacities of the provinces in the Yellow River basin were in a state of rapid development and had achieved a grade leap. However, seven provinces had carbon-neutral capacity levels at the Grade III standard in 2019, thereby leaving scope for substantial improvement. Through the above research, we identified the changes in the trend and driving mechanisms of the carbon-neutral capacity of the Yellow River basin and provide a theoretical reference value for a comprehensive realization of carbon neutrality in China in 2060. Unchecked emissions of greenhouse gases lead to global warming and aggravate problems such as ecological and environmental deterioration and energy crises. Therefore, an increasing number of countries have switched to developing low-carbon economies as an effective way for sustainable development since the advent of the twenty-first century. As a special low-carbon development mode, carbon neutrality promotes the balancing of carbon emissions and carbon absorption through the innovation and reform of technologies and systems, industrial transformation and upgrading, and the promotion and utilization of clean energy. Finally, the coordinated development of society, the economy, the environment, and energy is being emphasized. The terrain of the Yellow River basin is high in the west and low in the east. The western region of the basin is covered with snow throughout the year. Its central area is covered with loess; therefore, the soil and water losses are significant in this region. The eastern region of the basin is comprised mainly of the alluvial plain of the Yellow River. The Yellow River basin spans nine provinces and autonomous regions and plays an important role in China's economic and social development and ecological security. Therefore, the objective and comprehensive evaluation of the carbon-neutral development level of the Yellow River basin is of high significance for the sustainable development of the provinces and cities in the Yellow River basin.3, regional low-carbon economy5, low-carbon transportation6, evaluation of ecological level7 and analysis of influencing factors of carbon emissions are mature. The evaluation indicators are roughly divided into three categories: basic indicators, core indicators, and different orientation indicators according to the research purpose9. There are some differences in the selection of indicators by different scholars11. Jing et al.12 collected a set of 21 indicators covering the economic, social and environmental levels, constructed an indicator system, and proposed the comprehensive TOPSIS-ORM method to evaluate the sustainable development performance of shrinking cities in northeast China. Chaofeng et al.13 established a low-carbon city construction and evaluation index system in view of the carbon emission problem in urban construction and development. Yuzhao et al.14 studied the ecological security index system of the river basin, proposed the improved DPSIR model, and verified the applicability and importance of the improved DPSIR model in the ecological security assessment of the river basin scale. Guo et al.15 established the evaluation index system of ULCC from the perspective of driving force and resistance, respectively used the principal component analysis method and cluster analysis method to evaluate and classify the ULCC of Wuhan metropolitan area, and tested the results with fuzzy analytic hierarchy process to find out the problems existing in the city. Duan et al.16 constructed the evaluation system of Dalian's low-carbon economic development level based on AHP\u2009+\u2009entropy weight method. The comprehensive evaluation index of the development level of low-carbon economy in Dalian from 2005 to 2014 was calculated. Cheng et al.17 used correlation analysis, fuzzy rough set and entropy weight methods to select and analyze 21 indicators and construct a regional green competitiveness index. The above studies are all studies on evaluation indicators and evaluation methods between low-carbon and related industries or economies in different regions. However, in the evaluation of multi-provincial regions, river basins and heterogeneous regions, the characteristic indicators increase, and further research on the index system and evaluation methods is also needed.There are few researches on the development level of carbon neutrality, but the establishment and methods of sustainability evaluation system18 constructed an evaluation index system including 20 indicators at six levels. An improved TOPSIS method is proposed for analysis and calculation, and the results show that the use of renewable energy, the maintenance of ecological environment quality and low carbon technology are the important factors affecting the carbon neutrality ability of China. Liu et al.19 used China's provincial panel data from 2004 to 2016 and the Dubin spatial model based on the Stippart model to empirically analyze the impact of the three subsystems of ecological civilization on carbon emission intensity. Cao et al.20 proposed an evaluation model based on the improved matting element extension cloud model to evaluate China's ecological and environmental performance in 2019, taking Jiangsu Province as an example. Wei et al.21 adopted the PSR method to identify the influencing factors of China's carbon emissions. Jiang et al.22 respectively studied the impact of structural changes in internal and external inputs on global carbon emissions, and used structural decomposition analysis to decompose changes in global carbon emissions into six factors: carbon emission intensity, domestic input structure, international input structure, consumption pattern, consumption and population. Wei et. al.24 took Xiamen City as an example to establish a calculation method for the carbon footprint accounting of urban buildings. Ghaffar et. al.25 establishes baseline information on urban energy use and CO2 emissions. Built-up areas verify the increment of urban CO2 sources.In terms of carbon neutrality capacity evaluation and its influencing factors, Niu et al.In summary, the current research results show that the DPSIR model can effectively represent the concept and structure of the composite system, and can be well applied to the evaluation of low-carbon or carbon neutral development levels in river basins or multi-province regions. However, there are the following problems in the research: (1) most of the research objects of low-carbon development are urban areas or single industries, and there are few studies on the evaluation of low-carbon development level in river basins, multi-provincial or multi-heterogeneous regions. (2) At present, most of the research focuses on the field of low-carbon economy. (3) At present, most of the evaluation indicators of low-carbon development level are aimed at both carbon emission and carbon absorption, and no evaluation indicators have been established for the process of carbon transmission.In view of the shortcomings in the above studies, this paper builds the DPSIR analysis model of carbon neutrality capacity evaluation on the basis of the existing studies, and integrates the ecological evaluation index according to the actual situation of carbon emission, carbon absorption, economy, population, technology, resources and environment in the Yellow River Basin. Improve the driving mechanism analysis, pressure measurement, state assessment, impact analysis, response evaluation and other index systems of the carbon neutrality evaluation system in the Yellow River Basin. Combined with statistical data, the analytic hierarchy process and entropy weight method are used to evaluate the carbon neutrality capacity of the nine provinces in the Yellow River Basin. To verify the applicability and importance of DPSIR model in the evaluation of carbon neutral development level in the Yellow River Basin, and to provide theoretical reference for promoting the sustainable development of the Yellow River Basin.The driving-pressure-state-impact-response (DPSIR) model has evolved from the pressure-state-response (PSR) model proposed by the Organization for Economic Cooperation and Development and the driving-pressure-response (DPR) model proposed by the United Nations Commission on Sustainable Development. It is comprehensive, systematic, holistic, and flexible. The model can reveal the causal relationship between the environment and economy. The DPSIR model divides the system into five factors: driving, pressure, status, impact, and response. Figure\u00a0TO objectively and scientifically evaluate the carbon-neutral capacity of the Yellow River basin, this study follows the principles of the DPSIR model: science, system, compatibility, regional, hierarchy, operability, and regional economic and social development. The evaluation index system includes three levels: the target layer, subsystem layer, and index layer. The determined index layer comprises 37 specific indicators. It determines its attributes as positive (+) or negative indices (\u2212) for the index characteristics. The specific carbon-neutral-capacity evaluation index system is listed in Table The research objects of this paper are nine provinces in the Yellow River basin, mainly including Qinghai, Sichuan, Gansu, Ningxia, Inner Mongolia, Shaanxi, Henan, Shanxi,and Shandong. As shown in Fig.\u00a0The data on economic and social development were mainly sourced from China Statistical Yearbooks from 2008 to 2019 and included data for nine Yellow River basin provinces. The data on the use of resources were sourced mainly from the China Energy Statistical Yearbooks from 2008 to 2019. The data on environmental quality and environmental governance were sourced mainly from the 2008\u20132019 China Environmental Statistics Yearbooks, China Bulletin on the Status of the Marine Environment and the Department of Ecology and Environment of the nine Yellow River Basin provinces. The indicator data on per capita carbon emissions, annual average temperature change rate, GDP proportion of secondary industry, tertiary industry GDP proportion, and provincial health cities were calculated using their respective formulas from the index description and explanation given in Table Standardized processing of index data Because the original data of the N index may have different units and dimensions, these data must be standardized to obtain standardized data Normalization of index standardization data:Calculate the information entropy of each index Calculate the redundancy of each index Calculate the weights of each index After the evaluation index system was established, an appropriate evaluation method was selected to evaluate the development level of the system. Commonly used comprehensive evaluation methods include hierarchical analysis, fuzzy comprehensive evaluation, main component analysis, factor analysis, and entropy methods. The entropy method is an objective empowerment method that calculates the degree of numerical dispersion among the indicators. However, the traditional entropy method can handle only cross-sectional data. It cannot handle the panel data of a multi-index system spanning years. Therefore, this study used the global entropy method to determine the weight of the evaluation index system for the provincial carbon-neutral capacity of the Yellow River basin.d), pressure subsystem evaluation value (Sp), state subsystem evaluation value (Ss), impact subsystem evaluation value (Si), and response subsystem evaluation value (Sr).The DPSIR model subsystem layer evaluation formula is as follows:dpsir) of the DPSIR subsystem layer was determined using the expert evaluation method. The five subsystem weights were as follows: driving (wd), pressure (Wp), state (Ws), impact (Wi.) and response (Wr) weights.The weight was obtained asConsidering the score of the comprehensive evaluation index of the provincial carbon-neutral capacity of the Yellow River basin and referring to the relevant comprehensive index classification method at home and abroad and the actual situation of this study, the grading standards for establishing provincial carbon-neutral capacities in the Yellow River basin are listed in Table Driving subsystemThe evaluation values of the carbon-neutral capacity driving subsystems in nine provinces in the Yellow River basin generally exhibited an upward trend, as depicted in Fig.\u00a0Pressure subsystemAlthough the evaluation values of the carbon-neutral pressure subsystems in the nine provinces of the Yellow River basin decreased slightly in some years during 2008\u20132019, the overall trend exhibited a small increase, as depicted in Fig.\u00a0State subsystemFigure\u00a0Impact subsystemFigure\u00a0Response subsystemFigure\u00a0The DPSIR subsystem was thoroughly analyzed by comparing the evaluation values of the carbon-neutral capacity DPSIR subsystem of the nine provinces in the Yellow River basin from 2008 to 2019 and combining the characteristics of resources and environment and the specific characteristics of the basin.Overall, the provincial carbon-neutral capacities in the Yellow River basin were gradually enhanced.the State Council on Printing and Distributing the National Sustainable Development Plan for Resource-based Cities (2013\u20132020) was issued. The development plan for sustainable economic development in the next seven years was introduced. From 2013 to 2019, nine provinces responded positively to state calls. Governments at all levels need to rationally develop and use environmental resources and strengthen environmental governance and protection in accordance with relevant work arrangements. The strong development of the response subsystem and gradual comprehensive and stable implementation of the regulation measures improved the quality of economic development, the pressure and negative impact on the ecological environment of the Yellow River basin decreased continuously, and the CCCEI increased rapidly.During 2008\u20132019, the provincial carbon-neutral capacities in the Yellow River basin were continuously enhanced, and the CCCEI exhibited an upward trend. Since 2013, the concepts of a low-carbon economy and sustainable development have attracted wide attention from society and governments at all levels. In 2013, However, driven by the ever-increasing population and economic aggregate, the increases in the coal-dominated industrial energy consumption structure and cars per capita ensure that the evaluation values of the pressure and impact subsystems fluctuate, thereby impeding the development of the provincial CCCEI in the Yellow River basin.The development of carbon-neutral capacity in the Yellow River basin varies.Qinghai and Inner Mongolia have relatively good ecological environments, large vegetation coverage areas, and underdeveloped economies. Therefore, the provincial CCCEIs were above 0.8 in 2008.From 2008 to 2012, the provincial CCCEI values of Henan, Shanxi, Ningxia, and Shandong were less than 0.8. The overall levels of the carbon-neutral capacities of these provinces were level II, which were poor. Economic development leads to the destruction of resources and the environment. The evaluation values of the driving, pressure, and state subsystems were low.The provincial CCCEIs of Qinghai and Inner Mongolia were the first to attain level IV in 2017, which indicated that their carbon-neutral capacities were good. In 2019, the provincial CCCEIs of Sichuan, Shaanxi, and Gansu were above 1.1, i.e., slightly lower than the lower limit of the standard of IV. These provinces entered the initial stage of development with good carbon-neutral capacities. However, owing to the environmental damage and reduced green areas caused by economic development, the carbon-neutral capacities of Shanxi, Ningxia, Henan, and Shandong are relatively low. In 2019, their provincial CCCEIs were higher than 0.95 but lower than 1.1, thereby indicating their middle development stage of standard III.The provinces in the Yellow River basin have significant development potential.During 2008\u20132019, the carbon-neutral capacities of provinces in the Yellow River basin achieved a grade leap. However, there is a huge scope for development beyond the upper limit of standard IV. Furthermore, no province has reached standard I, thereby leaving scope for further development of provinces. Ningxia and Shanxi are important coal carbon bases in China, and the coal energy industry is an important industry. With the development of green energy technology, the carbon-neutral capacities of these provinces will be significantly improved. Shandong and Henan Provinces have large populations. A small cultivated land area per capita, a small proportion of renewable energy power, and a large proportion of secondary industry lead to increased pressure on carbon-neutral capacities in these provinces. Therefore, it is necessary to increase the utilization of new energy, vigorously develop tertiary industry, strengthen carbon-capture technology, and strive to achieve the sustainable development goal of carbon neutrality at first.The provincial CCCEI in the Yellow River basin from 2008 to 2019 is depicted in Fig.\u00a026. The index system is scientific, complete, and easy to obtain and provides a basic framework for a comprehensive analysis of the causal relationship between carbon neutrality and social and economic activities in the Yellow River basin.A carbon-neutral-capacity-evaluation index system for the Yellow River basin is established based on the DPSIR model. The index system has three levels and 37 indicators13, the practicability of DPSIR model and the scientificity of the result are further verified.The global entropy method was used to calculate the capability evaluation value of each subsystem of the DPSIR, the CCCEI model of the Yellow River basin was constructed, and a classification standard for the carbon-neutral capability was proposed. This method can be used to perform quantitative analysis on each subsystem of the carbon-neutral capacity of each province in the Yellow River basin. It can dynamically describe the evolution trend of the subsystems and objectively measure the level and future development scope of the carbon-neutral capacity of each province. Compared with referenceThe comprehensive evaluation of carbon neutrality capacity in the whole Yellow River basin shows a significant upward trend, showing the spatial difference of the comprehensive evaluation of carbon neutrality capacity in the middle and lower reaches of the river basin than that in the upper reaches of the river basin. The evolution trend of spatial differences among each subsystem is basically consistent with the evolution trend of comprehensive evaluation.Based on DPSIR model and global entropy method, the comprehensive evaluation Index (CCCEI) of provincial carbon neutrality capacity in the Yellow River Basin was established to evaluate the carbon neutrality capacity of the Yellow River Basin from 2008 to 2019. The logical relationship among subsystems in DPSIR model and the spatial and temporal differences of each province are revealed, and the dynamic evolution trend of carbon neutral capacity of each province is analyzed.From 2008 to 2019, the carbon neutrality capacity of the provinces in the Yellow River Basin was in a state of rapid development and achieved multi-level leapfrog, but there is still a great room for improvement. The carbon neutrality capacity of each subsystem shows two time differences: fluctuation and rise from 2008 to 2019. Driven by the continuous growth of population and economic aggregate, the continuous fluctuation of the evaluation index of pressure subsystem and influence subsystem hinders the consubstantial growth of the comprehensive evaluation index of carbon neutrality capacity of provinces in the Yellow River Basin to a certain extent.The index system based on the DPSIR model is capable of evaluating the impacts of economic and social developments in various provinces on their carbon-neutral capacities, as well as those of positive measures adopted to achieve carbon neutrality. The proposed index system is broad based and can be extended to the carbon-neutral assessments of other river basins.Provinces have actively developed emerging industries, strengthened ecological and environmental protection in the Yellow River basin, formulated and implemented low-carbon development plans, and effectively eliminated obstructive indicators. The carbon neutrality status of most provinces in the Yellow River Basin is relatively severe, and the resource and environment problems in the middle reaches are prominent. To improve the carbon neutrality capacity of the Yellow River basin, the resources and environment in the Yellow River basin need to be further rationally utilized, managed and protected. It is necessary to establish a reasonable resource and environmental utilization mechanism, strictly control the emission of industrial pollutants, advocate public transportation, promote the implementation of low-carbon economic development plans, and improve the comprehensive capacity of carbon neutrality in the provinces along the Yellow River Basin.The distribution of the middle and lower reaches of the Yellow River provincial carbon neutral pressure generally larger, strengthen the response and the implementation of the policy, increasing factors of flow across the land, digging in the middle and lower reaches of the Yellow River and Yangtze river along the Banks of the leading type carbon neutral city experience, give full play to their ability of carbon neutral spillover effect and is a progressive effect, formation of the carbon cycle in the Yellow River urban agglomeration, It will drive the improvement of provincial carbon neutrality capacity in the form of urban agglomeration. Based on the development advantages of each region, the differences in factors hindering carbon neutrality shown by each region should be solved.While dredging economic development, the government should constantly coordinate the contradiction between environmental protection and economic development, improve the overall coordinated development level at the material level such as industrial support and the accumulation of development factors, and formulate relevant policies according to local conditions.Combined with the research and analysis, it is not difficult to see that the carbon neutrality capacity level of the provinces in the Yellow River Basin has been significantly improved. The evaluation of carbon neutrality capacity shows obvious regional heterogeneity and distinct regional characteristics. Accordingly, according to the provincial characteristics and differences carried by different river basins, policy suggestions are put forward to promote the carbon neutrality capacity of the Yellow River Basin as follows:"}
+{"text": "The most frequent and severe non-cognitive disorders in dementia are hallucinatory-paranoid disorders (HPD), which cause social dysfunction and financial burden of this pathology.To study the features of HPD in vascular dementia (VD), an approach using clinical-psychopathological, psychometric, psychodiagnostic and mathematical-statistical methods was used.The study was based on the examination of 75 patients with HPD in VD and 63 patients with VD without HPD.In patients with VD in the middle stage of development in the structure of clinical manifestations was dominated by frequent paranoid and paranoid disorders with a systemic delusional plot material damage, robbery, theft , relationships and jealousy , which ran in the form of paranoid delusional disorder (63.4%), acute paranoia (12.2%) and hallucinations (24.4%). In patients with VD in the late stage of development, the clinical and psychopathological structure of GPR was characterized by a predominance of frequent, hallucinatory disorders in the form of healthy , tactile and auditory hallucinations, which took the form of hallucinations , confusion and paranoid delusional disorder .The study of the clinical and psychopathological structure of HPD in patients with dementia of different stages of development revealed their dependence on the stage of development of the pathological process."}
+{"text": "To evaluate the global research productivity in the field of discectomy for lumbar disc herniation (LDH) through bibliometric analysis and mapping knowledge domains.A systematic literature search was performed on the Web of Science (WoS), including the Science Citation Index Expanded (SCIE) database and PubMed. The number of publications, countries of publications, journals of publications, total citation frequency, impact factors of journals, and Institutional sources were analyzed by Microsoft Excel 2019, the Online Analysis Platform of Bibliometrics, and VOSviewer. Hotspots were also analyzed and visualized based on VOSviewer.Spine has published the largest number of papers (289) in this field with the most citation frequencies . Hotspots could be divided into three clusters: surgery, lumbar disc herniation, and diagnoses. The most recent topic that appeared was symptomatic re-herniation.A total of 2,066 papers were identified. The United States ranked first in the number of total citations . China ranked first in the number of publications , which has surpassed the United States in terms of the number of publications published annually since 2016. Wooridul Spine Hospital published the most papers (43). For journals, The United States is the most significant contributor to the development of discectomy for LDH. The current research focus of discectomy on LDH was the comparison between surgical approaches and evaluation of current minimally invasive discectomy. At present, minimally invasive techniques, such as endoscopic discectomy, cannot completely replace non-endoscopic discectomy (open discectomy and microdiscectomy) through bibliometric analysis and mapping knowledge domains. Sciatica in adults is mostly caused by lumbar disc herniation (LDH) , leadingBibliometrics is a method to assess the trends in global research productivity based on literature databases and literature metrology characteristics. Moreover, its application has become more and more mature in various medical disciplines in recent years, including spinal surgery \u201317. BaseA systematic literature search was performed on PubMed, Web of Science (WoS), and the Science Citation Index Expanded (SCIE) database. The search terms were as follows: theme\u2009=\u2009((discectomy) AND (lumbar disc herniation or lumbar disk herniation OR LDH)) AND publishing year\u2009=\u2009 based on MeSH on PubMed. Original articles and reviews were identified.Two researchers extracted the data from databases and imported it into Microsoft Excel 2019 independently. The data were imported as follows: number of publications, countries of publications, journals of publications, authors of publications, total citations, impact factors of journals, and institution sources. Disagreements between the two researchers were resolved by consensus after discussion.http://bibliometric.com/) was also used for analyzing and visualizing the data extracted from databases as a complement.The number of publications, contributive countries of publications, contributive journals of publications, total citation frequency, and impact factors of journals and institution sources were analyzed by Microsoft Excel 2019 , which were visualized by GraphPad Prism 8 . VOSviewer is used for visualizing the bibliometric mapping, including literature coupling, co-citation, collaboration, and co-word analysis . VOSviewA total of 2,066 papers were identified in this analysis. An overview of global publications in discectomy on LDH over the past 20\u00a0years is shown in Spine has published the largest number of papers (289) in discectomy on LDH with the most citation frequencies . World Neurosurgery ranked second in the number of publications (163). European Spine Journal ranked second in citation frequencies (2586).The top 10 contributing countries, institutions, and journals by the number of publications are shown in The top 20 keywords sorted by frequency of occurrence are shown in The citation status of papers in discectomy on LDH is shown in With the improvement of patients' requirements for prognosis, discectomy continued to improve as the treatment for symptomatic LDH under the general trend of minimally invasive surgery. By 2020, China ranked the first in the number of publications in the field of discectomy in worldwide , followed by the United States . However, the citation frequency of Chinese articles was less than that of the United States. In terms of time, China has surpassed the United States in terms of the number of publications published annually since 2016. China started to get involved in the research of discectomy on LDH relatively late, whereas the incidence rate and absolute value of LDH are relatively high in China based on great population, which could provide great number of clinical data. China has considerable experience in the application of various discectomy approaches to LDH. However, none of these surgical approaches to discectomy was invented by the Chinese. China was not as contributive as other countries such as the United States and South Korea, when it came to the creation or renewal of surgical techniques. Similar situations existed in the research institutions. Among the top 10 institutions that contributed the most publications, the number of citations from Chinese institutions was relatively small compared with institutions in other countries. These findings in this study suggest that the United States is the most significant contributor to the development of discectomy in LDH. China developed rapidly in discectomy on LDH but lack of research depth and citation.Spine (118 citations) (Spine (198 citations) (Spine (172 citations) (Advances in Neurosurgery (81 citations) (Techniques in Neurosurgery (80 citations) (Neurosurgery (65 citations) (Spine (87 citations) , Carragetations) , and Mixtations) , Ruettentations) , and Maytations) . Clustertations) , Mauricetations) , and Pertations) . Clustertations) , Cinottitations) , and Swatations) \u201330. WherIn the top 20 keywords sorted by frequency of occurrence, half were associated with surgical techniques and the research of minimally invasive surgery occupied a quite dominant position. In the bibliometric map generated by VOSviewer, clusters 1 and 4 mainly focus on surgical techniques and postoperative clinical outcomes in A consensus has been reached that the operation for re-herniation is associated with more cost and is less effective \u201337. HencThe objective of this study was to evaluate the global research productivity in the field of discectomy on LDH through bibliometric analysis and mapping knowledge domains. Previous published studies have investigated the quantity and quality of articles in the field of full-endoscopic spine surgery . The advThe United States is the most significant contributor to the development of discectomy for LDH. Some countries developed rapidly in the number of publications but lacked research depth and citations, such as China. The current research focus of discectomy on LDH was the comparison between surgical approaches and evaluation of current minimally invasive discectomy. At present, minimally invasive techniques such as endoscopic discectomy cannot completely replace non-endoscopic discectomy (open discectomy and microdiscectomy) through bibliometric analysis and mapping knowledge domains. One of the research hotspots in the future is the control of the recurrence rate and the solution of symptomatic re-herniation after lumbar discectomy."}
+{"text": "Internationally, an increasing body of scholarship has focused on the experiences of transgender individuals when accessing gender-affirming healthcare. However, the experiences of transgender individuals who belong to the foreign background population in Finland have rarely been studied. This study aims to fill the gap in research and contribute to the understanding of the experiences of acquiring gender-affirming healthcare among those, who fall into the intersections of transness and also identify of foreign origin in Finland.Fourteen semi-structured qualitative interviews were conducted and analyzed with reflexive thematic analysis (RTA), through the framework of intersectionality. The interviews were part of a broader sample of qualitative data, collected about the experiences of sexual and gender minorities among the foreign origin populations in Finland.The analysis showed two main interconnected themes. Firstly, perceived barriers when accessing gender-affirming care. In this theme, the intersections of transgender identity, foreign background, class, and age affected the experiences of the individuals. Secondly, the necessity of \u201cperforming identities:\u201d the intersections of class, transgender identity, and race affected those.The findings of the current study suggest that the intersectional aspects of individual identities create structural inequalities in the Finnish gender-affirmation healthcare system. To tackle these inequalities, further research is needed on the healthcare experiences of gender minorities in Finland both within and outside the scope of transgender-specific healthcare.\u2022\u2002Intersectional aspects of individual identities create structural inequalities in accessing gender-affirming healthcare.\u2022\u2002Further research is needed on the healthcare experiences of gender minorities that examines health and wellbeing using an intersectional lens."}
+{"text": "Neurodegenerative diseases (NDDs) are associated with the accumulation of a range of misfolded proteins across the central nervous system and related autoimmune responses, including the generation of antibodies and the activation of immune cells. Both innate and adaptive immunity become mobilized, leading to cellular and humoral effects. The role of humoral immunity in disease onset and progression remains to be elucidated with rising evidence suggestive of positive and negative outcomes. In this study, we review advances in research of neuron-targeting autoantibodies in the most prevalent NDDs. We discuss their biological origin, molecular diversity and changes in the course of diseases, consider their relevance to the initiation and progression of pathology as well as diagnostic and prognostic significance. It is suggested that the emerging autoimmune aspects of NDDs not only could facilitate the early detection but also might help to elucidate previously unknown facets of pathobiology with relevance to the development of precision medicine. Neurodegenerative diseases (NDDs) are chronic incurable disorders of the Central Nervous System (CNS) characterized by a progressive decline of synaptic functions and irreversible neuronal loss, with devastating personal impact and overwhelming socio-economical costs. With aging as the main risk factor, the most prevalent NDDs such as Alzheimer's disease (AD), Parkinson's disease (PD), Dementia with Lewy bodies (DLB), Frontotemporal Lobar Neurodegeneration (FTLD), Amyotrophic Lateral Sclerosis (ALS), and Vascular Dementia (VD) are currently on the rise 2+ homeostasis Amongst shared features of NDDs, deposition of misfolded proteins and fragments across CNS, neuroinflammation, dysregulation of glutamatergic signaling, oxidative stress with cytotoxic effects are the most prominent, contributing to neurological and psychiatric symptoms with behavioral impairments. Disruption of neuronal activity, synaptic transmission, and plasticity mechanisms are thought to be caused primarily by the accumulation of aggregation-prone toxic amyloid proteins in the CNS and dysregulation of CaCurrently, there is a major unmet need for low-cost, non-invasive, and reliable methods for the early detection of CNS diseases. With advances in sensing technologies, it is expected that new approaches will be developed to facilitate the accurate diagnosis of NDDs and timely interventions Antibodies (Ab) are large Y-shaped proteins used by the immune system for recognizing and neutralizing foreign materials, through activating the complement system and phagocytosis. Abs are generated by two types of B lymphocytes: B1 and B2. B2 cells produce Abs in follicles of secondary lymphatic organs, which in their majority are regular proteins derived after specific antigenic stimulation As natural immunoglobulins (Ig), Aabs occur in three isotypes: IgM, IgG, and IgA. IgM recognizes and binds post-apoptotic antigens and markers of cell senescence CNS is considered immunologically privileged with very limited exposure to antigens and restricted infiltration of Abs taking place under physiological conditions. This is due to physical and molecular barriers at the blood-CNS interface and elaborate system of meningeal lymphatic vessels (mLVs) which control the concentration and isoforms of Abs entering the CNS and guide immune cells out to cervical lymph nodes Many disorders affecting CNS, including NDDs, are associated with the disintegration of BBB, which may lead to an out-of-control outflow of neuronal and glial proteins with activation of autoimmune response Gaskin et al. presented the first evidence for A\u03b2 Aabs in the peripheral circulation of AD patients Using an affinity purification approach, Mruthinti et al. found a higher titer of IgG binding A\u03b242 peptide in plasma of AD Microtubule-associated protein tau, which in AD becomes hyperphosphorylated (p-tau), is the main constituent of neurofibrillary tangles. An increase in the level of p-tau in the brain and CSF has been considered as one of the key biomarkers of AD Using circulating IgGs, it was shown that they can recognize modified tau variants, which differ in their characteristics Neurofilaments (NFs) belong to a family of intermediate filaments with their diameter (~10 nm) falling between two other cytoskeletal polymers, i.e., microtubules (~25 nm) and actin (~6 nm). Based on their gene sequence and structural characteristics, NFs are divided into six types (I-VI) NF deposits were found to co-localize with tau tangles in brains affected by AD Soussan et al. compared NF Aab profiles in serum of AD patients and healthy controls. Unlike controls showing equal binding for different isoforms of NF-H without changing their specificity during aging, in AD, the levels of Aabs against ventral root cholinergic NF-H was higher than those directed against dorsal root NF-H. The phosphoserine content analysis of NFs showed its higher levels in ventral as compared to that of dorsal root NF-H, with Aabs from AD patients binding more effectively phosphorylated epitopes, which show higher prevalence in ventral root NF-H Accumulation of insoluble and misfolded \u03b1-syn in neurons leads to synaptic failure with the build-up of fibrils constituting Lewy bodies (LB) and neurites of DLB and PD The results of the analysis of \u03b1-syn Aabs in the blood of PD patients and comparison with controls vary considerably Table . While sDespite two decades of in-depth research and major progress in developing biomarkers for CNS disorders, the definitive diagnosis of NDDs remains a major challenge. The current diagnostic gold standard - positron emission tomography (PET) - has low sensitivity and is of limited availability, due to high costs and requirements for specialized infrastructure and skilled staff, as well as potential health risks related to the use of radioactive tracers. Substantial drawbacks are also associated with the use of CNS tissue as well as CSF-based assays involving biopsies and lumbar puncture, which necessitates invasive procedures and related major health risks. The emerging Aabs based blood tests seem to offer a specific, rapid, and affordable approach for diagnosis of NDD without major risks and adverse effects. Nevertheless, significant challenges and questions remain, which impede their effective translation and widespread clinical use, calling for further research and optimization in clinical trials. One of the key difficulties is imposed by the discovery of significant amounts of neuronal Aabs in the peripheral circulation in healthy subjects, inferring their potential physiological role, and questing the specificity of selected Aabs for a particular NDD. Another major challenge is imposed by the results of comparative studies, which demonstrate considerable variations of Aabs levels in the peripheral circulation of NDDs that frequently deviate from changes in Aabs titers in CSF. These observations also substantiate the highly complex nature of the immune response to NDDs and underscore the potential shortcomings of utilized detection methods. Together with numerous conflicting reports and outstanding methodological issues, the above-listed considerations call for revision and improvements of sample preparation and standardization of sensing methods. They also highlight the need for more stringent stratification of target groups and profiling of Aabs, to ensure accurate and specific detection and quantification of Aabs. In this context, the use of genetic methods is especially warranted, given the causative and predisposing effects of specific genes in NDDs. Because of the association of NDD with genetic alterations"}
+{"text": "There has been increasing interest in functionalised mineral materials in terms of both scientific research and the development of the world economy. This arises from the growing interest in clean manufacturing technologies that use mineral sorbents, and is related to current issues in environmental and civil engineering, which are receiving significant attention both in the European Union and in international legislation. The price paid for technical progress and economic development in the 20th century was environmental pollution. In the 21st century, modern approaches based on functionalised mineral material technologies are an opportunity for world economic development and for increased industrial competitiveness in global markets while improving environmental conditions. These issues address the challenges faced by industry in protecting the environment, and in the rational use of natural resources in the creation of modern economies and in the development of industry. From the point of view of the world economy, it is important for researchers to create innovative production technologies. To meet these goals, close cooperation between science and industry is needed; thus, studies on the properties and uses of functionalised mineral materials are important.The great focus placed on functionalised mineral materials by modern science and industry is due to their particular properties, knowledge of which interdisciplinary. The interaction of sorbents with organic and inorganic substances, and the use of mineral materials in ceramics, foundries and metals, are the subject of many publications, patents and industrial practices. These effects are fuelled by technological progress and growing demand for increasingly efficient and cost-effective technologies. Moreover, they enhance the capacity of researchers to determine the mineral and chemical composition of mineral materials, as well as their structure and texture. The second group of reasons for the developing interest in functionalised mineral materials is the progressive threat to and degradation of the environment, which demands new means of reducing the impact of industry.Functional minerals are materials inspired by geological systems originating from Earth\u2019s several billion-year-long history. Each of them has a unique chemical composition and structure that determine its properties and possible functions. Natural, synthetic and anthropogenic minerals, both in their original and modified forms, serve as agents in environmental and industrial applications. The functions of mineral materials include: cation and anion exchange, sorption, immobilisation, energy storage, use as catalysts and photo-activity. Layered clay minerals, zeolites and zeolite-like structures, layered double hydroxides (LDHs), are particularly suited to such functions. Modifications of minerals to obtain functional mineral materials include: surface modification, functional loading, intercalation, grafting, doping and structure reformation. This Special Issue, in which we will discuss topics from interdisciplinary studies, aims to highlight the current top trends in the innovative functionalisation techniques of mineral materials. Additionally, reports on unique properties of functionalised materials and their expected applications are presented.The mineralogical and chemical characteristics of Ukrainian volcanic tuffs from the Khmelnytskyi region were determined in . Their p2MnSnS4 (CMTS) acknowledged as an alternative to traditional semiconductors, two different sources of sulphur have been successfully used to synthesise CMTS particles via solvothermal methods [The main objective of was to s methods . The expIron-Based Water Treatment Residuals (WTRs) are an extremely interesting material, formed as a result of de-ironing and de-manganising drinking water . The higS. saccharatum (L.) biomass, and its application significantly reduced the heavy metal content of S. saccharatum (L.) biomass. Based on data reported in the literature, Ref. [The aim of the was to ere, Ref. presents"}
+{"text": "Dear Editor,Melanocytic matricoma is a rare benign cutaneous adnexal tumor that recapitulates the early anagen hair follicle.A 60-year-old man with HIV under antiretroviral therapy presented with a 2-month history of a rapidly growing papule affecting his left preauricular area. Physical examination showed a well-defined 6\u202fmm papule with an uneven coloration ranging from pink to grey . CompletMelanocytic matricoma typically presents as a sharply demarcated, small unevenly pigmented papule or nodule, arising on sun-damaged skin of elderly individuals, with a male predominance.Clinical differential diagnosis of this entity includes malignant melanoma, pigmented Basal Cell Carcinoma (BCC), and hemangioma.Despite being considered a benign tumor, the clinical behavior of melanocytic matricoma remains unknown because of the few reported cases and the lack of long-term follow-up.5None declared.I\u00f1igo Aranguren-L\u00f3pez: Approval of the final version of the manuscript; design and planning of the study; drafting and editing of the manuscript; collection, analysis, and interpretation of data; effective participation in research orientation; intellectual participation in the propaedeutic and/or therapeutic conduct of the studied cases; critical review of the literature; critical review of the manuscript.Sara Ibarbia-Oruezabal: Approval of the final version of the manuscript; design and planning of the study; drafting and editing of the manuscript; collection, analysis, and interpretation of data; effective participation in research orientation; intellectual participation in the propaedeutic and/or therapeutic conduct of the studied cases; critical review of the literature; critical review of the manuscript.Nerea Segu\u00e9s-Merino: Approval of the final version of the manuscript; design and planning of the study; drafting and editing of the manuscript; collection, analysis, and interpretation of data; effective participation in research orientation; intellectual participation in the propaedeutic and/or therapeutic conduct of the studied cases; critical review of the literature; critical review of the manuscript.None declared."}
+{"text": "Alpine grassland on the Tibetan Plateau (TP) accounts for about 62% of the total area of the TP . These gClimate changes have been evident across the TP since the beginning of the 1970s . For insIn the past 20 years, numerous efforts have been done to explore the patterns, functions, and processes of alpine grassland ecosystems, including transect surveys, field observations, model simulation, comprehensive meta-analyses, and literature reviews. These studies have following characteristics: (i) with the improvement of testing methods, a diversity of technologies have been applied at the technical level such as remote sensing, model simulation, large-scale transect sampling survey, aerial filming, and long-term observation. Scales of these studies range from regional, landscape, ecosystem, and community to micro-molecular and genomic levels; (ii) the observation indexes have evolved from basic to comprehensive, which includes moisture, soil, biology, watershed, and climate; (iii) various factors such as the environmental, natural, human activities, and the impact of the whole habitat on alpine ecosystems were taken into account, and (iv) studies have evolved from trophic levels, food webs, and independent processes of ground and underground to the integration of above and below ground processes of the whole ecosystem. Despite remarkable knowledge gains, there are still some areas that require in-depth research, such as the driving mechanism of the impact of global change alpine ecosystems with new technologies and theories.To advance our understandings of the patterns, functions, processes, and mechanisms of alpine grassland ecosystems responding to changing environments ., we organized a Special Issue (SI) entitled \u201cPatterns, Functions, and Processes of Alpine Grassland Ecosystems under Global Change\u201d. This SI comprises 49 articles, sharing new ideas, techniques, and findings about this subject from field experiments, large-scale transect surveys, alongside remote sensing . These sThe spatial-temporal patterns and drivers of alpine grassland ecosystem under the changing environment are the top priority for the grassland conservation. Due to the scale of the TP, remote sensing is critical for studies on the spatial and temporal heterogeneity of the grassland. Four papers in this SI discuss the spatial-temporal patterns and drivers of alpine grassland ecosystem under the changing environment based on patch, landscape or pixel based remote sensing observations. Seven papers in this SI assess the variations of alpine ecosystem functions, and the response and feedback of ecological processes using long-term simulated experiments and large-scale transect surveys. Some of the studies used the entire TP as the study area and evaluated the complex biodiversity-ecosystem function relationships , the effClimate change and human activities dominate the recent changes in grassland patterns and processes on the TP, thus affecting the ecosystem functions and services. Many of the articles in this SI reveal the driving mechanism of the impact of climate change and human activities on alpinSeven papers in this SI explored the mechanisms of alpine ecosystem dynamics using new analytical methods, e.g., artificial intelligence learning, network analysis , Bayes aIt is well known that human activities and their feedbacks affect regional sustainable development, but relevant policy measures have rarely be evaluated at the household level. Although some findings on the ecological system of TP may still be somewhat preliminary, all studies included in this SI have undoubtedly promoted our understanding of the patterns, functions, and processes of alpine grassland ecosystems in the context of global change. Some important questions remain unanswered, though. Further explorations need to focus on the following two aspects: (i) more long-term localized observations and manipulative experiments should be employed to reveal long-term change of coupling of plant-soil-livestock-human system and its driving mechanisms. Two TP-wide programs, namely, the Alpine Fence Observation Net (AFON) and the Alpine Climate Change Observation Net (ACON) were established in 2020 and 2022, respectively Figure\u00a01JS, YW, SL, and JL drafted the story line of the editorial. SL, HZ, GW and NH refined the story line and contributed references and insights to the impact of the papers included in this editorial. All authors contributed to the article and approved the submitted version.This work was supported by the National Natural Science Foundation of China (No. 41871040), the National Natural Science Foundation of China Joint Fund Project (U21A20186), the Joint Research Project of Three-River-Resource National Park Funded by the Chinese Academy of Sciences and Qinghai Provincial People\u2019s Government (LHZX-2020-08), Qinghai Natural Science Fund Innovation Team Project (2021-ZJ-902).We thank all the authors who submitted their work to this Research Topics, the professional editorial staff at Frontiers in Plant Science for their support in creating this Research Topic, and the invaluable help of reviewers in manuscript evaluation.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest.All claims expressed in this article are solely those of the authors and do not necessarily represent those of their affiliated organizations, or those of the publisher, the editors and the reviewers. Any product that may be evaluated in this article, or claim that may be made by its manufacturer, is not guaranteed or endorsed by the publisher."}
+{"text": "Saudi Arabia\u2019s ambitious Vision 2030 project was launched in 2016 as a strategy for economic development and national growth, with 11 Vision Realization Programs put in charge of its implementation. The backbone of its Transformation Program for the Health Sector has been the definition of a new Model of Care aiming to deliver 42 coordinated interventions across 6 Systems of Care, with the development of clinical guidelines identified as a key cross-cutting intervention to foster the use of national, evidence-based practices across KSA, reduce care variation, and promote accountable care. This article provides an overview of the history, progress to date, and future outlook of the recently initiated National Guidelines Center in Saudi Arabia, established in collaboration between the Health Holding Company and the Saudi Health Council represented by its National Center for Evidence-based Medicine. The lessons learnt from previous guideline initiatives are grouped under the Center\u2019s design principles of high quality, relevance, practical implementation, and sustainability. Aspects setting the project apart from previous endeavors have been its focus on extensive engagement with key stakeholders in the Saudi guideline ecosystem, the co-development of evidence-based recommendations with aligned key performance measures, and the implementation of guideline recommendations in the clinical workflow via integrated electronic order sets. Nine activity streams aim to enable the Center to take its place among the leading regional and global guideline developing organizations and to optimally support clinicians and patients, Saudi Arabia\u2019s health sector transformation, and the work of guideline communities worldwide. Saudi Arabia (KSA) has one of the highest healthcare expenditures in Gulf Cooperation Council countries (GCC), as well as one of the highest densities of medical professionals per thousand residents . This alHowever, non-communicable diseases, particularly diabetes and obesity, continue to burden the kingdom, and are a major target of preventive care screening policies. It has been estimated that the obese population will reach 73% by 2025 . ConversIn response to this situation in 2016, Saudi Arabia launched the ambitious Vision 2030 project as a strategy for economic development and national growth. Eleven Vision Realization Programs (VRPs) have been put in charge of its implementation, including a dedicated VRP and Transformation Program for the Health Sector .The backbone to healthcare transformation is the definition of a new Model of Care that, among other objectives, aims to deliver 42 coordinated interventions across 6 Systems of Care responsible for the delivery of all health services Fig.\u00a0 5]. The. The5]. Key to achieving the healthcare transformation within the kingdom\u2019s Vision 2030 program was to promote the use of national, evidence-based practices across KSA to reduce care variation and promote accountable care, through regular adaptation/development, alignment, training, and dissemination of localized clinical practice guidelines.In close collaboration with the Saudi Health Council (SHC) represented by its National Center for Evidence-based Medicine, the Health Holding Company (HHC)\u2014established by the Saudi Ministry of Health to drive its Model of Care Health Sector Transformation strategy\u2014has initiated a National Guidelines Center to guide clinical practice and be the advocate for evidence-based medicine, thereby improving the wellbeing of its nation in a sustainable, standardized, and accountable manner.The SHC was established by a Royal Decree issued in June 2002, with its council under the chairmanship of the Minister of Health and whose current members include all health care providing sectors in the kingdom like Ministry of Health, Military hospitals, Saudi Red Crescent Authority and the special regulatory entities i.e Saudi Food and Drug Authority (SFDA), Council of Collaborative Health Insurance (CCHI ) and Saudi Commission for Health Specialties (SCHS) and other ministries like the Ministry of Economy and Planning, the Ministry of Labor and Social Development and the Ministry of Finance. Key among its many tasks of the SHC was to prepare the healthcare strategy in KSA, issue appropriate regulations to ensure that hospitals run by the Ministry of Health and other government agencies are operated in adherence to the principles of economic management as well as performance and quality standards and development and approval of policies for the coordination and integration between all healthcare providing authorities.Over the last few decades, numerous organizations across Saudi Arabia have independently undertaken the task to create documents aimed at guiding clinical decisions, such as guidelines, consensus documents, pathways, and protocols . DespiteTable Important aspects setting our project apart from previous endeavors and aiming to inform similar endeavors worldwide include its focus on extensive engagement with key stakeholders in the Saudi guideline ecosystem, the co-development of evidence-based recommendations with aligned key performance measures, and the implementation of national guideline recommendations in the clinical workflow at the point of care via integrated electronic order sets.As of October 2022, several milestones have been reached including: (i) documentation of the Center\u2019s vision and mission, charter, goals, processes, and policies; (ii) extensive stakeholder engagement with organizations active in the Saudi guideline ecosystem; (iii) confirmation of the SHC National Center for Evidence-Based Medicine as the most suitable entity to host the center following consultation among 19 stakeholder organizations using a RACI (Responsible/Accountable/Consulted/Informed) framework; (iv) based on a data-driven impact/effort analysis, selection of the initial 12 guideline topics as follows: Chronic kidney disease, Dental caries, Community-acquired pneumonia, Cesarean section, Stroke, Sepsis, Acute gastroenteritis in children, Low back pain in adults, Mechanical ventilation, Chronic obstructive pulmonary disease, and Depression; (v) Recruitment of Clinical Leads and multidisciplinary Task Forces for all topics; and (vi) Development of a multi-component dissemination and implementation strategy.Over the upcoming months, work will focus on (i) completing the Center\u2019s first 12 guidelines; (ii) approving the guidelines by the National Center for Evidence-Based Medicine\u2019s Scientific Committee; (iii) disseminating the guidelines via multiple channels including a website, mobile apps, and educational events; (iv) implementing national guideline recommendations at the point of care through localized order sets embedded in the electronic health record at selected pilot sites; (v) finalizing the Center\u2019s internal team and infrastructure; (vi) disseminating guidance on the GIN criteria for giving a seal of approval as national guidelines to those developed by other guideline organizations ; (vii) d"}
+{"text": "Stress is defined as the state of threatened homeostasis. It has been associated with dysregulation of the stress system, consisting of the Hypothalamic-Pituitary-Adrenal (HPA) Axis and the Locus Caeruleus-Norepinephrine/Autonomic Nervous Systems (LC-NE/ANS), as evidenced by altered central and peripheral biomarkers of this system of the stress system, as evidenced by altered concentrations of stress-related biomarkers and brain changes in individuals with anxiety disorders, post-traumatic stress disorder (PTSD), and depression . The study demonstrated positive associations between low-normal thyroid function at the 2nd and 3rd trimesters of pregnancy and postpartum with anxiety, depression, and OCD scores. These findings are in close relation with the third article of this Research Topic, the mini-review examining the relations of prenatal maternal stress with thyroid function and neurodevelopment of the offspring, by Anifantaki et al. Indeed, both the HPA and the Hypothalamic-Pituitary-Thyroid (HPT) axes are involved in stress responses, whereas, their final effectors, the Glucocorticoids (GCs) and the Thyroid Hormones (THs), mediate several fundamental processes involved in neurodevelopment. It is well established that growth and neurodevelopment of the fetus depend on maternal hormones, especially during the first half of pregnancy. Altered concentrations of both GCs and THs can cause abnormalities in the neuronal and glial structures and functions, with subsequent effects on postnatal neurocognitive function. Experimental studies demonstrate that increased GC concentrations, related to maternal stress, may reduce maternal and, consequently, fetal circulating THs, either directly or through modifications in the expression of placental enzymes responsible for regulating fetal hormonal concentrations.The study of Konstandi et al. suggest that stress plays a central role in the regulation of drug bioavailability in the body, granted that pharmacotherapy may be a potential threat to homeostasis. Thus, stress may contribute to determining a drug's pharmacokinetic profile, as it regulates various enzymes that catalyze the metabolism of the majority of drugs.One opinion article of the Research Topic summarizes neuropharmacological aspects of stress. Makris et al. critically summarized the existing data on stress system alterations in children and adolescents with Autism Spectrum Disorder (ASD). This review focused on the variations of circadian rhythms of cortisol and alpha-amylase, as peripheral biomarkers of the HPA axis and LC-NE/ANS system, respectively, and on stress system responses to different stressors. This review article also included imaging and immunological findings that have been associated with stress system dysregulation in ASD youth. Finally, the article discussed the possible contribution of early life stress in ASD pathophysiology and the developmental trajectory of the stress system in ASD individuals. Similarly, Payen et al., in their systematic review, analyzed existing data on peripheral biomarkers of the gut and the heart in ADHD, the most prevalent NDD in childhood. The article provided a broader view of stress system components, including task-related heart rate reactivity (HRR) and gut microbiota data in children with and without ADHD. Lo Iacono et al., in their review, summarized evidence on the psychobiological effects of childhood sexual abuse, which has been considered a major traumatic experience in childhood. The authors provided data on specific alterations in the endocrine and immune systems, as well as data on epigenetic modifications related to child sexual abuse.Four articles of the Research Topic focus on peripheral neurobiological measures in children and adolescents. Giannopoulos et al. investigated early life sensorimotor sex/age differences using Electroencephalographic (EEG) recordings to measure muscular and neural acoustic startle response (ASR) in a healthy young population. ASR is a cross-species indicator of sensorimotor and inhibitory mechanisms, showing distinct signature in cognitive aging, sex and psychopathological characterization. Neural ASR was assessed by two different analyses, Event-related Potentials (ERPs) and First-derivative Potentials (FDPs). In this study, the modulation of ASR by PPI and PPF was associated with biological sex and internal/external traits in childhood and adolescence, potentially useful to guide symptomatology and prevention of psychopathology.Finally, the research paper by The articles of this Research Topic highlighted the pivotal role of the stress system in neurodevelopment, either as a contributing environmental factor interacting with a genetic background, or as a major physiological mechanism of adaptation in individuals with neurodevelopmental disorders. Various neurobiological measures of stress have been analyzed and discussed by the authors, however, this is only a limited view of the role of the Stress System in the pathophysiology of NDDS. More data are needed to further elucidate and increase our knowledge on the longitudinal role of stress in brain development and in adaptation to everyday and novel/unexpected stressful stimuli.PP wrote the initial draft. AA and GC critically reviewed the manuscript. All authors contributed to the article and approved the submitted version.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest.All claims expressed in this article are solely those of the authors and do not necessarily represent those of their affiliated organizations, or those of the publisher, the editors and the reviewers. Any product that may be evaluated in this article, or claim that may be made by its manufacturer, is not guaranteed or endorsed by the publisher."}
+{"text": "People with coronavirus disease (COVID-19) may frequently require treatment with psychotropic medications, but the underlying medical condition and possible interaction with medical treatments might pose serious safety issues.To review the direct and indirect evidence on the safety of psychotropic drugs in people with COVID-19 and provide practical recommendations for frontline clinicians.An international, multi-disciplinary working group was established with the aim of producing evidence-based recommendations on the management of psychotropic medications in people with COVID-19, following the WHO Rapid Advice Guidelines methodology in the context of a public health emergency. Evidence retrieved was focused on the risk of respiratory, cardiovascular, infective, hemostatic, and consciousness alterations related to the use of psychotropic medications. Furthermore, drug-drug interactions between psychotropic and medical treatments used in people with COVID-19 was reviewed and critically discussed by the working group.The analysis of available evidence, although indirect, showed that all classes of psychotropic medications might carry relevant safety risks for people with COVID-19. The working group produced a set of 12 recommendations to support clinicians in the assessment of the anticipated risk of psychotropic-related unfavourable events, and how to practically manage this risk, including when it is appropriate to avoid, withdraw, switch, or adjust the dose of the medication.The present evidence-based recommendations will improve the quality of psychiatric care in people with COVID-19, allowing an appropriate management of the medical condition without worsening the psychiatric condition and vice versa.No significant relationships."}
+{"text": "As the scale of foundation pit projects of subway stations in Shenzhen becomes larger, and the construction constraints become more and more complex, there is an urgent need for intelligent monitoring and safety management of foundation pits. In this study, an integrated intelligent approach for monitoring and management of a deep foundation pit in a subway station was proposed and a case study based on the Waterlands Resort East Station Project of Shenzhen Metro Line 12 was used for validation. The present study first proposed the path of intelligent foundation pit engineering. Based on geotechnical survey and building information modeling, a three-dimensional transparent geological model of foundation pit was constructed. Multi-source sensing technologies were integrated, including micro electromechanical system sensing technology, Brillouin optical frequency domain analysis sensing technology, an unmanned aerial vehicle and machine vision for real-time high-precision wireless monitoring of the foundation pit. Moreover, machine learning models were developed for predicting key parameters of foundation pits. Finally, a digital twin integrated platform was developed for the management of the subway foundation pit in both construction and maintenance phases. This typical case study is expected to improve the construction, maintenance and management level of foundation pits in subway stations. In recent decades, various advanced technologies, such as artificial intelligence (AI), internet of things (IoTs), digital twin (DT), and machine learning (ML), have been successfully applied in various activities of civil engineering, such as slope stability analysis ,2, geoteFoundation pit engineering, as one of civil engineering branches, needs to adapt to increasingly complex urban environmental conditions and striIn this study, 35 published papers related to foundation pit engineering were collected for knowledge mapping. The input keywords in the Scopus search engine included foundation engineering, foundation pit, foundation excavation, foundation construction, BIM, monitoring and automation. A knowledge map of the relationship between the keywords among those literatures was obtained using VOSviewer, as shown in Based on the keyword relevance analysis atlas of intelligent foundation pit engineering, and the analysis of previous engineering cases, it was found that the research content of intelligent foundation pit engineering is often limited to a certain part of the project. For example, through the establishment of computer in-situ 3D transparent geology of the foundation pit, soil information can be retrieved and managed with high accuracy , and theThis study was based on the project of Waterlands Resort East Station of Metro Line 12, Shenzhen, China. The first intelligent foundation pit integrating \u201ctransparent geology multi-source perception deep learning digital twin\u201d was done through in-situ testing, BIM, multi-source perceptions, ML, and DT. This innovation can significantly enhance the design, operation, and management of foundation pit projects for metro stations.This study was based on the project of Waterlands Resort East Station of Metro Line 12, Shenzhen, China. An overview of the project is shown in Through a geotechnical engineering investigation , on-site engineering geological basic information data was obtained. The three-dimensional geological information and foundation pit engineering structure in the current project were modeled with BIM technology to form a three-dimensional transparent foundation pit engineering infrastructure. Based on the deep foundation pit of Waterlands Resort East Station Project of Shenzhen Metro Line 12, this study carried out six in-situ tests, including a double bridge static penetration test, a three-bridge static penetration test, a pressure meter test, a flat shovel lateral expansion test, a vane shear test and a full flow penetration test. The change laws of the strength, permeability coefficient and mechanical parameters of the stratum soil mass, and the fine division of the soil layer and relevant geotechnical parameters, were analyzed based on the test results. As shown in Through multi-source sensing technologies, including MEMS, BOFDA distributed optical fiber, UAV and MV, a safety monitoring assessment of foundation pit engineering was carried out. MEMS technology is mainly characterized by miniaturization and integration . SensorsOptical fiber sensing technology meets the requirements of high precision, long-distance and long-term measurement. Distributed optical fiber sensor, represented by BOFDA, achieves continuous spatial distributed measurements with accurate measurement results and small errors , and is At present, UAV and MV technoloDue to the depletion of the sensor itself, the measurement accuracy declines after a period of time, which affects the accuracy of the monitoring results. Different from the traditional single engineering monitoring method, this study uses MEMS sensing technology, BOFDA distributed optical fiber sensing technology, a UAV and MV technology to monitor the working parameters of the foundation pit, including but not limited to axial force, stress, temperature and displacement, to give reasonable play to the advantages of various sensors and make up for the shortcomings of various sensors, and ensure the accuracy and reliability of monitoring parameters.Based on the foundation pit project of Waterlands Resort East Station, an intelligent monitoring platform of foundation pit based on deep learning algorithms and BIM was developed.The back propagation (BP) neural network algorithm is composed of three-layer networks of input layer, hidden layer and output layer. Its core idea is to transmit the output error back to the input layer by layer through the hidden layer in some form ,58. BaseThese four neural network models were used to train the axial force, settlement and displacement dataset of the support system of the deep foundation pit over the past one year and then develop prediction models. The reliability of the proposed models was assessed using root mean square error. The proposed models are expected to be used for the early warning and safety assessment of deep foundation pits. By calculating the relative average error, we found these four ML models can accurately predict the axial force, settlement and displacement. Furthermore, the GA-BP algorithm has the best prediction performance due to the smallest error.The intelligent monitoring platform of the foundation pit was constructed using IoTs technology and a three-dimensional geographic information system . Figure At present, the platform has only been used to monitor the key parameters during the foundation pit construction stage. It is necessary to complete the monitoring of the whole life cycle of the subway station project using other platforms. Based on the related research of traditional foundation pit engineering monitoring and management, the platform was developed by the Future Underground City Research Institute of Shenzhen University in conjunction with Jinan Bimu Digital Software Technology Co., Ltd. , which is convenient for enterprise users to monitor and calculate their own projects. Based on the cast modeling platform of Huawei Kunpeng cloud, the platform completes the application and development of BIM graphics and subsequent multi-source heterogeneous data. The parametric model data is uploaded and downloaded through the cast without loss. The platform supports repeated editing and modification of BIM models and can add/delete monitoring equipment models for many times. The real-time synchronization of the platform is conducive to the monitoring and management of the BIM model at different stages, and the reuse of one modeling for many times greatly improves the application value of the model. The platform provides an open cloud computing framework, supports the loading of third-party algorithms, and is used to calculate and analyze the collected data of different monitoring devices online, and predict the future development trend with one click. At the same time, an algorithm back test function is provided to directly compare the predicted value with the measured value. The accuracy of the prediction result is evaluated and the most appropriate algorithm according to the data type is selected. As shown in Based on Waterlands Resort East Station Project of Shenzhen Metro Line 12, this study developed a DT app terminal open platform integrating intelligent construction and management of rail transit foundation pit. Unity3D was used to realize intelligent upgrading of two-dimensional drawings. The platform accomplished the integration of a station building drawing and model, and all current project drawings of the enterprise could be viewed in the start page. The current platform was divided into two parts: intelligent construction and intelligent management.As shown in This app is currently applied only to the integrated intelligent construction and management project of Waterlands Resort East Station Project of Shenzhen Metro Line 12. If it is to be applied to other projects, it needs to import relevant information. At the same time, the compatibility problem of the app still needs to be improved. Currently, it can only be used for mobile phones equipped with the Android system. Different from the traditional DT platform, the app includes three major functions: three-dimensional visualization, full life cycle monitoring and predictive analysis. Three-dimensional visualization breaks the traditional mode of integrating building information through plane drawings, and maps the building model of the physical real world through 3D modeling technology. The information integration of DT from planning and design to construction to operation and maintenance stage ensures the integrity and consistency of data and runs through the whole life cycle of the subway station. The introduction of DT technology provides a basis for predictive decision-making and analysis. The key parameters are monitored by the sensors, and the data collected by the monitoring sensors are analyzed with the help of the deep learning algorithm, and the safety level is predicted at the same time.Augmented reality combines real world information and virtual world information. Through real-time imaging, three-dimensional and other technologies, it projects physical information that is difficult to experience in a certain time and space range of the real world into a real world in the form of virtual information, so as to be directly captured by human senses and achieve a perceptual experience beyond reality. The working principle of AR includes video capture, graphics system, video synthesis, and video output. As shown in Through on-site geological investigation, refined geological information of the on-site soil layer was obtained. Three-dimensional transparent geology was then developed on the BIM platform to facilitate information management of the on-site soil layer and effectively control the construction risk;Through MEMS sensing technology, BOFDA distributed optical fiber sensing technology, laser radar, UAV and machine vision technology, the key parameters of the foundation pit, including but not limited to axial force, displacement, strain, temperature, etc., were obtained. The accuracy and reliability of monitoring data were greatly improved using a variety of monitoring methods and multi-source sensing technology;An intelligent monitoring platform of foundation pit based on BIM of independent intellectual property rights was developed using a cast modeling cloud platform to realize integrated monitoring and management of the foundation pit during construction. Four ML neural network algorithms were used to predict the key parameters of the foundation pit. It was found that the algorithm with the smallest error in the project was the GA-BP algorithm;A DT app terminal open platform integrating intelligent construction and operation and maintenance of rail transit was developed using DT means, which included three major functions: three-dimensional visualization, full life cycle monitoring and predictive analysis. Based on app and augmented reality technology, BIM 3D model, facilities, equipment and other operation and maintenance data were combined with the current real tunnel scenario to realize the DT of subway stations.This study advances a new idea for an integrated intelligent approach for monitoring and management of a deep foundation pit in a subway station, which is divided into four modules: the implementation path of intelligent foundation pit engineering, field investigation and in-situ test, multi-source perception technology, ML prediction algorithm and DT integration of foundation pit construction and operation and maintenance. This innovative idea was implemented in the foundation pit engineering of the Waterlands Resort East Station Project of Shenzhen Metro Line 12. The main conclusions are as follows:At present, the data obtained from the in-situ test reflect the real parameters of rock and soil to the maximum extent. The stability of different types of sensors is different, resulting in high cost and long time-consuming of the monitoring platform with multi-source information fusion. Different from the traditional foundation pit project management scheme, this research achieved the integration of construction, operation and maintenance and management of intelligent foundation pit project through four modules of \u201ctransparent geology multi-source perception deep learning digital twin\u201d, which intuitively displays the soil layer information, monitoring data, prediction results and three-dimensional models of construction and electromechanical, greatly improving the project management efficiency of engineering personnel."}
+{"text": "Alcohol is frequently used in association with cannabis, with co-use now perceived as normative with expanding cannabis legalization. Cannabinoid products are increasingly used for a number of medical and recreational purposes, including to enhance alcohol-reinforcing properties or in some cases to substitute for alcohol. Rates of alcohol use disorder (AUD) are higher among cannabis users relative to nonusers, with approximately 60% of individuals with current cannabis use disorder also meeting criteria for current AUD.This research review series approaches cannabinoid\u2013alcohol co-use through the lens of complex interactions between biological, psychological, and environmental factors. Basic science research reviewed in this topic series highlights the role of the endogenous cannabinoid or endocannabinoid (eCB) system in alcohol-related behaviors. The eCB system, which regulates cannabis reinforcement, is also involved in modulating alcohol reinforcement, motivation to consume alcohol, excessive alcohol consumption, AUD,Cannabinoids may reduce harmful effects of AUD, in part, by conferring beneficial effects on the gastrointestinal and immune systems.This translational research series strives to elucidate the cannabinoid\u2013alcohol interactions by synthesizing findings across animal studies as well as human laboratory and epidemiological designs from community and clinical samples. From synapse to policy, the reviews in this series reflect the current state of the science on the reciprocal impact of alcohol and cannabinoids on an individual and the society at large. Several comprehensive reviews summarize findings from preclinical and human studies on the effects of alcohol exposure on the eCB system as a whole34This topic series aligns with the research efforts discerning the shared impact of cannabinoids and alcohol on health undertaken by the Collaborative Research on Addiction at the National Institutes of Health (CRAN) partnership between the National Institute on Alcohol Abuse and Alcoholism, the National Institute on Drug Abuse (NIDA), and the National Cancer Institute. Elucidating effects of cannabis and alcohol co-use on health, policy, and economy is also a key research priority identified by the Cannabis Policy Research Workgroup of the NIDA National Advisory Council on Drug Abuse (NOT-DA-22-003). The empirical literature on cannabis and alcohol co-use has grown fourfold in the last decade alone, reflecting burgeoning interest in this topic. As summarized in the articles in this series, more research is needed to improve our understanding of the mechanisms underlying the functioning of eCBs in relation to alcohol in order to advance the development of eCB-based pharmacological treatments of AUD and related conditions. Clinical data examining the role of specific cannabinoids in alcohol-related human behavior also are critically needed to inform clinical guidelines for individuals engaged in AUD treatment and/or people who drink heavily and co-use cannabis. The authors lend crucial insights and make specific recommendations for future research endeavors on alcohol and cannabis interactions, taking into account between-person and within-person variability across time and contexts. All together, these findings will have important implications for the development of policy concerning alcohol in the context of the changing cannabis sociopolitical landscape."}
+{"text": "Currently, there are no ideal medications for treating anorexia nervosa (AN) and bulimia nervosa (BN). This is due to the variety of symptoms from the mental and somatic spheres.Describe the modern methods of psychopharmacotherapy AN and BN.Data from available publications on the topic of psychopharmacotherapy AN and BN, and long-term practical experience of research staff the Department of psychiatry and medical psychology RUDN University, Moscow.Therapy includes antidepressants (AD) - serotonin reuptake inhibitors (SSRIs), antipsychotics and tranquilizers. AD groups of SSRIs reduce most of the symptoms AN and BN - depressive disorders, anxiety, obsessive and compulsive symptoms, episodes of overeating and purifying behavior, suicidal thoughts, and reduce the frequency of relapses. With severe and persistent dysmorphophobia, a high degree of impulsivity, and psychopathic behavior second-generation antipsychotics Quetiapine, Olanzapine, Risperidone and Aripiprazole are used. Benzodiazepine tranquilizers (Lorazepam) are used in small doses and as additional therapy. Data from the European national guidelines for the treatment of AN and BN very different, and the world Federation of societies for biological psychiatry (WFSBP) does not provide specific recommendations at all. There are many reasons for disagreement and lack of specificity regarding drug selection, including the lack of an equally solid evidence base, that reflects the modern state of research on the psychopharmacological treatment of eating disorders.In General, therapy AN and BN should be comprehensive - psychopharmacotherapy, psychotherapy, diet therapy, social rehabilitation. Treatment should be carried out both in the hospital and on outpatient basis and should be decided individually.No significant relationships."}
+{"text": "Most passengers and goods in Canada travel by road. The trucking industry is the backbone of the tangible goods economy. However, the health and well-being of this aging workforce is in jeopardy. Recent data reveals that 86% of the truckers\u2019 community are 50 years old and over, 4% are female and 5% are immigrants. Moreover, 75% of the male truckers self-reported one or more health condition . Despite, the high prevalence of risk factors and preventable chronic diseases among truckers, in New Brunswick and elsewhere in Canada, there is a lack of on-the-road accessible lifestyle change programs. Therefore, tailored interventions are needed to appropriately support them adopt healthy behaviors. Using the Re-AIM Framework, we carried out 23 semi-structured interviews to inform the development of tailored educational material. The aims were: to describe the needs and challenges and to design a truckers-sensitive educational intervention. The theoretical foundation of this qualitative study is articulated around concepts extracted from cognitive and behavioural theories . Qualitative analysis of verbatims identified four major themes: Lifestyle challenges, Social and individual representation of healthy behaviors, Health education strategies and communication and Motivational and engagement strategies. Drawing upon these findings we developed tailored educational material and pre-validated them with a small group of professional truck drivers. Our findings informed the development of an educational intervention to support truckers manage and improve their mental health and self-management of chronic diseases. The next step is to implement a randomized clinical trial to test and assess acceptability, feasibility, and effectiveness of our intervention.Improving mental health of professional truck drivers is an urgent public health issue.Format and content of mental health and chronic disease self-management need to be adapted at the cognitive and capacity level."}
+{"text": "Peste des petits ruminants virus (PPRV) is an important agent of contagious, acute and febrile viral diseases in small ruminants, while its evolutionary dynamics related to codon usage are still lacking. Herein, we adopted information entropy, the relative synonymous codon usage values and similarity indexes and codon adaptation index to analyze the viral genetic features for 45 available whole genomes of PPRV. Some universal, lineage-specific, and gene-specific genetic features presented by synonymous codon usages of the six genes of PPRV that encode N, P, M, F, H and L proteins reflected evolutionary plasticity and independence. The high adaptation of PPRV to hosts at codon usages reflected high viral gene expression, but some synonymous codons that are rare in the hosts were selected in high frequencies in the viral genes. Another obvious genetic feature was that the synonymous codons containing CpG dinucleotides had weak tendencies to be selected in viral genes. The synonymous codon usage patterns of PPRV isolated during 2007\u20132008 and 2013\u20132014 in China displayed independent evolutionary pathway, although the overall codon usage patterns of these PPRV strains matched the universal codon usage patterns of lineage IV. According to the interplay between nucleotide and synonymous codon usages of the six genes of PPRV, the evolutionary dynamics including mutation pressure and natural selection determined the viral survival and fitness to its host. Morbillivirus, family Paramyxoviridae, and order Mononegavirales (Peste des petits ruminants (PPR) caused by peste des petits ruminants virus (PPRV) is a highly contagious, acute and febrile viral disease of wild and domestic small ruminants, and poses a great threat to the ruminant industry in the world . PPRV waavirales . This isavirales . H and Favirales .The PPR outbreaks can cause high morbidity and mortality, resulting in severe economic losses in the developing countries. Hence, the analysis of epidemic tendency and evolutionary dynamics of PPRV for prevention and control remains particularly important. A Bayesian phylogenetic analysis of all PPRV lineages (I-IV) identified an ancestral PPRV and individual lineages of Nigeria for PPRV and Senegal for lineage I, Nigeria/Ghana for lineage II, Sudan for lineage III and India for lineage IV . In addiThe 45 whole genome sequences of PPRV strains available were downloaded from the National Center for Biotechnology (NCBI) Genbank database, accessed on 1 September 2017 . Based oAs for the nucleotide usage bias at gene levels of the 45 PPRV strains, the normalized information entropy over the frequencies of different nucleotides in a given gene was presented by the below formula :fi is the probability of the specific nucleotide (Fi), and Fi is the total number of occurrences of the specific nucleotide in the target gene . The value of Entropy for nucleotide usage bias ranges from 0 to 1, representing how the dispersed contribution of these four types of nucleotides is: the higher the value is, the more uniform the nucleotide usage is; in contrast, a lower value reflects a more biased usage of nucleotides.where To further compare the nucleotide usage biases in the six coding sequences, the overall nucleotide usage biases, and the nucleotide usage biases at the 1st, 2nd, and 3rd codon positions were estimated by One-way ANOVA method in SPSS 16.0 software, respectively.The relative synonymous codon usage (RSCU) values for the given coding sequences of the PPRV strains were calculated to quantify synonymous codon usage bias without the confounding influence of amino acid usage patterns or the length of different gene samples . Of noteD was introduced into this study is defined as a cosine value of an included angle between A and B special vectors, meaning that the evolutionary distance between gene A and gene B at the aspect of 59 RSCU values, ai is defined as the RSCU value for a specific codon in 59 synonymous codons of gene A, and bi is termed as the RSCU value for the same codon of gene B. Here, the lower the D value is, the higher the extent of similarity of codon usage patterns between gene A and gene B.where http://genomes.urv.es/CAIcal, calculated the CAI for a group of viral sequences using the specific host reference set and included a complete set of tools related with codon usage adaptation. The host reference set required to calculate the CAI can be introduced in the codon usage database of the host. The synonymous codon usage patterns of host as reference, the synonymous codon usage bias with high extent represented the highest relative adaptation to the host, and coding sequences with higher CAI values should be regarded preferred over those with lower ones were selected as the reference set, and the related data was obtained from the Codon Usage Database (The codon adaptation index (CAI) analysis of PPRV coding sequences were carried out depending on the CAIcal server , which wwer ones . The synDatabase .Rij) was intrandXi is the standard deviation of the Euclidean distance between each point (Bi) in the ith group and the centroid (Ai) of the ith group; Xj means the standard deviation of the Euclidean distance between each point (Bj) in the jth group and the centroid (Aj) of the jth group, Tiand Tj standard for the total numbers of points in the ith group and in the jth group, respectively. Mij is the Euclidean distance between the centroids (Ai and Aj) of the ith group and the jth group. The smaller the Rij value is, the stronger the interaction between the two groups.p-value was <0.05. Linear regression was used for modeling the relationship between a scalar dependent variable and one independent variable using the software GraphPad Prism 6 for Windows.One-way ANOVA method was used to compare the means of two or more groups containing numerical response data using the software SPSS 16.0 for Windows, and significant difference can be identified when P < 0.0001). Generally, the nucleotide usage patterns represented the gene-specific compositional trends rather than the similar compositional trends with the overall content of nucleotides analysis also found highly similar extent of synonymous codon usage in viral genes of the three groups (Although the PPRV strains from China (2007\u20132008), China (2013\u20132015) and other countries generally shared a similar synonymous codon usage pattern , the dife groups based one groups . In addie groups . These rOvis aries) cellular machinery. Based on the classification of gene types, a strong significant difference was found (Ovis aries) based on RSCU data for Ovis aries and AAU (Asn) in F gene, UCA (Ser) in H gene, UUG (Leu), UCA (Ser) and AAU (Asn) in L gene, CUA (Leu) and UCA (Ser) in M gene and UCA (Ser) in P gene. These synonymous codons likely mediated and regulated the relevant viral genes translation due to its low corresponding tRNA abundance in the host.The CAI analysis were performed to estimate the correlation between the synonymous codon usage bias and the expression efficiencies of gene samples of PPRV, implying that the strong codon adaptation of the viral genes fit the host indicated that despite the obvious effects of nucleotide usage biases at different codon positions on the overall codon usage bias of PPRV coding sequences, nucleotide usage biases at the first and second codon positions played more vital roles than that at the third codon position in the codon usage bias for the coding sequences . AnotherPreviously, the major bottleneck limiting in better understanding of the genetic features of PPRV was their dependence on nucleotide usage variation. Although nucleotide usage variation can be regarded as evolutionary dynamics of PPRV genome, synonymous codon usage patterns of PPRV coding sequences carry more genetic information, including viral adaptation to hosts, viral gene expression, and effects on the biological functions of viral protein.The datasets presented in this study can be found in online repositories. The names of the repository/repositories and accession number(s) can be found in the article/Conceptualization: XW, F-yP, and F-qX. Methodology: F-yP, F-qX, XW, and D-rZ. Software: XW and F-yP. Formal analyses: F-yP, D-rZ, XW, and JS. Writing-review and editing: XW, JS, and F-qX. All authors contributed to the article and approved the submitted version.This work was supported by Department of Science and Technology of Gansu Province Nature and Science Fund [21JR1RA141], Cuiying Scientific and Technological Innovation Program of Lanzhou University Second Hospital , Cuiying Postgraduate Student Supervisor Culture Plan [CYDSPY202005], Innovation Foundation for Higher Education Institution of Gansu Province [2020B-022], and Gansu Province Science and Technology Fund [20JR10RA737].The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest.All claims expressed in this article are solely those of the authors and do not necessarily represent those of their affiliated organizations, or those of the publisher, the editors and the reviewers. Any product that may be evaluated in this article, or claim that may be made by its manufacturer, is not guaranteed or endorsed by the publisher."}
+{"text": "Rural households are facing severe challenges while adapting to existing and emerging risks of various kinds, including the effects of unprecedented shocks that affect individuals and families in terms of lack of income, reduced consumption and the sale of assets. Health shocks, i.e., unpredictable diseases that undermine people's health status, are the most common unprecedented shocks and the most pressing causes of families falling into poverty. When an illness or injury impairs the health of a family member or causes the income of the family to be reduced or even lost, the family is faces high levels of vulnerability due to the costs of medical treatment as well as the lack of income caused by incapacity for work. Health shocks, together with economic ditto, thus place a heavy financial burden on families and are, de facto, one of the most important factors related to poverty in these regions.Risk adaptation and coping has become necessary activities for families living in rural areas of low and middle income countries, but this is also taking a significant share of their income. Consequently, understanding these risks and related coping strategies is crucial for policymakers. This is also reflected in the Global Development Report entitled Risks and Opportunities, which examines how families can cope with the wide range of risks they face.The focus of this special issue addresses the effects of COVID-19 on rural areas in the Low- and Middle - Income Countries. Several researchers submitted a significant number of high-quality papers for consideration in this special issue, which went through a rigorous peer-review process, with an acceptance rate of 50%. Finally, 16 quality contributions were published, and among them were the following papers:COVID-19's Impact on China's Strategic Emerging Industries: An Observation of Policy Difficulties studies the influence of the COVID-19 on R&D investment and foreign exchange development of China's most important emerging industrial firms.Analysis of Preventive Behaviours of Rural Tourism Hosts in the Face of COVID-19 Pandemic: Application of the Health Belief Model discusses preventive behaviors of rural tourism hosts and the COVID-19 utilizing the HBM model.Investigating the Adoption of Precautionary Behaviours Among Young Rural Adults in South Iran During COVID-19 investigates the factors affecting youth intention and preventive behavior with respect to COVID-19, also using the HBM.Besides of those the issue also discussed the following topics:Social, Environmental and Economic Impact Assessment of COVID-19 on Rural tourism.Dynamic conservation in risk society: A case study of COVID-19 pandemic risk in Kashan Qanat Irrigated Agriculture.Tourism development during the pandemic of coronavirus (COVID-19): Evidence from Iran.The impact of COVID-19 pandemic on food security, and food diversity of Iranian rural households.How do collective efficiency and norms influence the social resilience of Iranian villagers against COVID-19? The mediating role of Social leadership.Impacts of COVID-19 pandemic on micro and small enterprises (MSEs): Evidence from Rural Areas of Iran.Developing a paradigm model for resilience of rural entrepreneurial businesses in dealing with the COVID-19 crisis; application of grounded theory in western of Iran.We hope that the papers presented in this special issue will be useful and stimulating for further understanding of risks, vulnerabilities, and counter mechanisms available to deal with a wide range of health and economic shocks faced by rural households and to properly design and develop social safety nets.https://www.frontiersin.org/research-topics/41035/addressing-the-effects-of-covid-19-on-rural-areas-in-low-and-middle-income-countries-volume-2.Due to the good response from the researchers to this Research Topic, the journal has decided to initiative, the Volume 2 with the same editorial team. Further information can be found at: All authors listed have made a substantial, direct, and intellectual contribution to the work and approved it for publication.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest.All claims expressed in this article are solely those of the authors and do not necessarily represent those of their affiliated organizations, or those of the publisher, the editors and the reviewers. Any product that may be evaluated in this article, or claim that may be made by its manufacturer, is not guaranteed or endorsed by the publisher."}
+{"text": "Prefabricated construction is one of the solutions to the problem of balancing environmental improvements with the new buildings in the construction industry. Some work originally done on site is transferred to the front end, and the occupational health risks to industrial workers during the production of prefabricate concrete components are thus aggravated. This study aims to propose a framework to simulate the occupational health risks of workers in prefabricate concrete component plants from the perspective of risk identification, risk assessment, and risk control. Through the following 4 steps, including environmental release monitoring, diffusion and human inhalation mechanism analysis, occupational health risk evaluation, and full-path health risk simulation, this study maps physical entities to virtual reality. The proposed method tends to address the root causes behind occupational health risks, such as the lack of measurement, assessment and prevention criteria, and providing new ideas for theoretical research and innovative practice of HSE management and risk management in the construction industry. Green Building Action Plan released in 2013. In 2018, the Chinese government further made the vigorous development of prefabricated buildings a key task and overall requirement for the future. In 2021, the Chinese government released the Action Plan for Carbon Peaking by 2030, which aims to accelerate the application of prefabricated buildings and the industrialization of construction. Even under the influence of the epidemic, the total building area of new prefabricated building in China reached 740 million square meters in 2021, accounting for about 25% of total area of new construction with more than 500,000 workers employed.The construction industry faces the problem of balancing economic growth and environmental impact. The concept of prefabricated building is an innovative solution to this problem. Compared to traditional forms of construction, prefabricated building has the advantages of increasing efficiency, shortening periods, lowering costs, saving energy, reducing consumption, reducing environmental pollution and sustainability in the production, construction and use processes , 2. TherPrefabricated buildings can be divided into concrete structures, steel structures, bamboo and timber structures according to the type of structure, among which prefabricated internal/external wall panels, prefabricated floor slabs, prefabricated staircases and prefabricated balconies as the main components of prefabricated concrete structures are the most common, accounting for over 90% of the market share . Unlike Occupational Health and Safety Management System Guide in the UK, the Occupational Health and Safety Management System in the US, the Occupational Health Inspection Management Regulations in China, the Occupational Health and Safety Management System General Guide in Australia, the Occupational Health and Safety Management System Guidelines in Japan and the international standard Occupational Health and Safety Management System Requirements and Guidelines for Use. However, the risk regulation system and standards for the assembly construction industry, which lies between manufacturing and construction industry, are still immature and require systematic theoretical research results to support the development of risk evaluation criteria and the control of the overall process.The environmental protection authorities in most country will review the environmental assessment before the project goes into operation. However, the focus is on the impact of the plant's emissions on the external environment, while neglecting the occupational health of workers. For example, although a certain prefabricated concrete (PC) component manufacturer acquired ISO 9001 and ISO 14001 certification and meet the 17 elements of environmental management, there are only a few words of discussion concerning the occupational health of workers. In addition, through the preliminary site survey and visits, some PC component production enterprises, especially the small plants, have problems such as dust, noise and odor, and workers lack the necessary protective measures and awareness of health protection, which exposed them to serious occupational health risks. A series of occupational health-related laws and regulations are enacted worldwide, including the Thus, this article is grounded in the intersection of engineering, environmental, and health management. A logical framework of occupational health risks was formed using risk management concept to identify the full pathway process of environmental release, combined with a personal exposure assessment method to form a simulation model of occupational health risk assessment for the whole process workers. It is also applied to real-life cases to form a complete set of long-term management models of occupational health risks caused by environmental release, providing a new paradigm for research in the field of occupational health risk management.The environmental release in this study refers to the hazardous substances or energy spilling, leaking, emitting or escaping into the external environment in physical or chemical form. The construction phase is long with many upstream and downstream industries, complex construction elements, and huge amounts of construction materials, machinery and energy, thus generating various types of environmental release at all stages of building production, transportation, construction, decoration and renovation . The maiTraditional building products, especially concrete components, are mostly cast on site in an outdoor open environment, and the resulting harmful environmental release are easily dissipated into the atmosphere, so the exposure concentration/intensity of industrial workers is relatively low. The production of PC components is conducted in industrial plants, and the production process produces various harmful environmental release, such as dust, noise and VOCs. Industrial workers have long been in this semi-enclosed space with high environmental release and high intensity, suffering serious potential threat to the health in the short or long term.\u201cOccupational health risk\u201d refers to the possibility of work-related diseases or occupational diseases caused by workers' exposure to occupational hazard factors in the process of occupational activities, and its health damage consequences have specific probability and severity . OccupatOccupational health risk assessment can be divided into qualitative, semi-quantitative and quantitative risk assessment methods. In the 1990's, European and American countries and international organizations successively issued occupational health risk assessment guidelines or norms to assess and manage the risk of hazardous substances in the workplace, For example: ICMM Operational Guidelines for Occupational Health Risk Assessment, Occupational Exposure Limits Evaluation Methodology, New Guidance on Inhalation Risk Assessment, Simple Elements of Chemical Occupational Hazard Classification and Control Techniques, Romanian Risk Assessment Methodology for Occupational Accidents and Occupational Diseases, Australian Guidance on Occupational Health and Safety Risk Assessment Management, International Council on Mining and Metals Occupational Health Risk Assessment Guidance, Risk Assessment Methodology for Occupational Exposure to Toxic Chemicals, ICI Mond Toxicity Index Evaluation Method and so on \u201333. In aThe United States National Institute for Occupational Safety and Health (NOSH) research report indicated that there are as many as 39 categories related to occupational health and safety in the construction industry, such as: sandblasting, blood lead, asbestos, asphalt, carbon monoxide, eye diseases, high temperature and pressure, quartz, skin exposure, noise and so on. At present, in addition to Australia, Sweden, Germany and other countries with good occupational health management, there are still some countries in the world with relatively weak research on occupational health management in the construction industry, and there is still a great room for improvement in occupational health management in the construction industry.Previous research OHSAS and HSE management system as the core, aiming at comprehensive evaluation of the construction industry practitioners of occupational safety and health risks. In fact, multi-source harmful environmental release is one of the causes of occupational health risks. From the perspective of building types, studies mainly focus on traditional building forms and their construction processes, while studies on prefabricated buildings, especially the PC component production are relatively few. In terms of the type of emissions, the vast majority of studies focus on emissions of carbon dioxide and other greenhouse gases that have profound effects on human health and the environment. However, there are few studies on environmental release such as dust, noise and VOCs that pose acute/chronic threats to the health of construction workers. In addition, previous studies lack real-time and long-term monitoring and dynamic optimization of emission sources and their surrounding environment, resulting in the lack of universality of static data obtained from a single measure, and the lack of referential results and conclusions.The Life Cycle Assessment (LCA) can be used to assess the impact on human health of various pollutants emitted from the entire process of product production, with emphasis on a long term and cyclical evaluation concept . Risk MaThe risk identification is divided into three parts through the investigation and literature review to understand the mechanism of environmental release from the perspective of LCA. In the Risk Assessment stage, the occupational health risk assessment method and a simulation model adapted to the PC component production phase are built, so that the risks can be can be quantified and optimized. Finally, the modeled risk assessment system is put into empirical analysis. We will control the risk status of all aspects accurately and put forward policy advice. With the records of the database, the effect of measures on risk reduction are tracked and monitored, and the information is feedbacked to the risk evaluation and risk management system to achieve dynamic risk control .Given that the uncertain factors occur as probabilistic phenomenon, the individual exposure assessment method is used in this study. The individual exposure assessment method is used to simulate the probability of inhalation, exposure and exposure to hazardous environmental release during a worker's long-term work, and thus to assess occupational health risks . It can CDIi denotes the chronic daily inhalation/intake of emission i (mg/kg/d), Ci is the concentration of emission i (mg/m3), IR is inhalation rate (m3/h), ED represents exposure duration (h/d), EF is exposure frequency (d/a), EL is years of exposure, BW is body weight (kg), and AL is average life cycle (years).Where In the available health risk assessment literature, hazardous compounds are usually classified as non-carcinogens or carcinogens . For carCRi denotes carcinogenic risk of emission i, ISFi is inhalation slope factor for emission i (kg\u00b7d /mg), HQi means Hazard Quotient, namely the ratio of the concentration of emission i to its reference concentration RfCi in a given time period, with HQi \u22651 indicates that the emission concentration is high enough to cause chronic non-carcinogenic effects. RfCi symbolizes the reference concentration factor of emission i (mg/m3). ISFi and RfCi are captured in the US Integrated Risk Information System (IRIS).Where DALY) is used to quantify the disease burden and injuries in human populations in the Global Burden of Disease Study and perform a quantitative assessment of health damage (DALY as shown in Equation (4) .YLL denotes the year of life lost. YLD is the year of life lived with a disability. It is a time-based measure that combines the time lost due to premature mortality and the duration of disability caused by illness in survivors.Where According to the three stages of risk management theory, this study builds an occupational health risk framework, starting from the three stages of risk identification, risk assessment and risk control, including research content, technical roadmap and methods, as shown in Identifying the source of environmental release and confirming the emission characteristics. Specifically, it includes the following two contents: (1) Sorting out the current production process and process characteristics of typical prefabricate concrete component plants assembly lines. (2) Determining the type, location and extent of environmental release resulting from operations such as material fugitive, energy consumption and mechanical equipment operation during the production of prefabricate concrete components. Taking PC exterior wall panels as an example, their production contains more than 30 processes such as cleaning the mold, installing reinforcement cages, pouring and vibrating, and spray release agent, etc. The potential harmful environmental release during the process mainly contains dust, noise, and VOCs, as shown in Detection and analysis of environmental release properties in precast concrete components plants includes: (1) Field sampling of dust, VOCs gas and other aerosol substances using cyclone particulate collectors, vacuum sampling pumps, Teflon filter membranes, etc. Samples collected in the field are sent to the laboratory under light-free, low-temperature and dry conditions. (2) The material class and particle size interval of the solids in the filter membrane, and the composition and proportion of the gas in the sampler, respectively, with the aid of gas chromatography/mass spectrometry (GC/MS), according to the standard test method provided by the National Institute for Occupational Safety and Health Research (NIOSH). (3) Toxicological and human potential damage analysis was conducted for all detected substances, and the substances with a large proportion and heavy hazard were finally selected as the final environmental release types .Based on the source emission characteristics, the diffusion and dispersion mechanisms of environmental release are analyzed using spread and dispersion laws as follows: (1) Using monitoring equipment such as laser dust meter, acoustic meter and photo-ionization detector to monitor the emission sources and the surrounding environment at fixed points to obtain real-time data on the change in concentration of dust or gas emissions during the production of prefabricate concrete components and the change in intensity of noise, respectively. (2) Collecting and measuring data on potential influencing factors such as spatial boundaries, wind speed, wind direction, temperature and humidity within the plant during the same production time period using temperature/humidity meters, anemometers and so on. (3) Establish an environmental release propagation/diffusion model, and simulate the transport trajectory, diffusion path and concentration distribution of dust and gas, as well as the propagation distance and decreasing degree of noise, respectively, with Fluent software. (4) Determine the propagation or dispersion pattern of various types of environmental release during the production of prefabricate concrete components.The human intake mechanism of environmental release includes the following four steps: (1) Real-time monitoring of noise intensity and emission concentration data at the ear, mouth and nose of workers of different job types during production operations by requiring workers to wear portable devices. (2) Deploy RFID sensor devices at designated locations to collect and record data on workers' job characteristics, behavioral habits, movement range and other potential influencing factors. (3) Modeling the inhalation/exposure dose of workers to simulate their inhalation, exposure dose, or exposure level to short-lived environmental release under specific constraints. (4) Determine the way of environmental release from human intake during the production of prefabricate concrete components. A number of instruments and equipment are used in these processes, which are highly specialized and sophisticated. The main instruments and equipment mentioned above are shown in On the basis of the risk identification and assessment methods, the simulation model was established to establish the \u201cEmission-Transmission-Inhalation\u201d whole process of worker occupational health risk simulation and evaluation model. The simulation module of each part is established, specifically including: (1) Establish a basic simulation module of prefabricate concrete component production process and emission source location based on building information model. (2) Establish a numerical simulation module based on computational fluid dynamics to simulate the propagation and dispersion of environmental release in component plants. (3) Establish a multi-intelligence-based worker production behavior and health injury simulation module. (4) Create a multiple sources database module containing information on environmental release monitoring, worker health data, emission factors and so on. (5) The application development platform is selected to integrate the above simulation modules and database to build a quarriable, editable and calculable occupational health risk simulation and evaluation model, as shown in Based on the life cycle risk management evaluation method, combined with the above simulation model, the long-term control of occupational health risks caused by environmental release is formed. For the identification of risk control strategies, the target case analysis takes into account the results of risk evaluation and identifies control strategies based on the classification of carcinogenic risk and chronic disease risk respectively. Then, based on the Critical success factors (CSF) analysis method, the key success variables of environmental release risk control are searched from three aspects: emission sources, transmission paths and recipient individuals.Drawing a fishbone diagram to identify, define and develop specific measures included in the above three CSFs, such as reducing dust/gas release due to handling, disturbance or vibration of parts, installing sound insulation and noise reduction equipment, installing sprinkler systems, optimizing ventilation systems, temperature and humidity regulation systems, regular cleaning and decontamination, requiring workers of specific jobs to wear protective equipment, strictly setting daily/yearly working hours for workers of certain special jobs, adopting a job rotation system on a regular basis, etc. Fishbone diagram through critical success factor analysis, the gray correlation algorithm is used to determine the gray correlation between the above measures and to develop the optimal combination strategy. The process is shown in SM is the simulation model, PE is physical entity, VE is virtual entity, SS is service, DB is data, and CN is the connection between the parts.The simulation model contains five key elements as shown in Equation (5), where: PE is the basis for building the simulation model. In the project, a single PC component production machinery and equipment can be regarded as a unit-level PE, which is the smallest unit for function realization; a full set of PC component production line can be regarded as a system-level PE, which can complete the component production task; the whole plant composed of production line, environmental Emission and workers can be regarded as a system-level PE, which is a comprehensive system including material flow, emission flow and information flow, including four parts of human-machine-material-environment, as shown in Equation (6).Physical layer element identification and data acquisition. The accurate analysis of Hp describes the scope of action and behavior of industrial workers in the production process of components, and the data are obtained through RFID and image recognition technologies; Mp describes the operation of production machinery and production lines, and is portrayed and simulated through preliminary research and continuous probability events; Pp describes the production process of PC components, and is built through the material flow model; Ep describes the intensity and propagation law of environmental release, and is measured through sensors and portable devices.Model layer model building and rules making. The establishment of the model layer is the core of the simulation technology. The digital model of this project includes geometric model, behavioral model and rule model, which describes and portrays each physical entity in the production process of PC components from multiple time scales and multiple space scales, as shown in Equation (7).Gv is a 3D model describing the geometric parameters and relationships of PE, with good spatial and temporal consistency with PE, which can be realized by Fluent 3D modeling software with Revit and Auto CAD; Bv describes the real-time response and behavior of PE under the joint action of external environmental impact and internal operation mechanism in different time scales, using a multi-intelligence-based simulation model. Rv describes how physical entities operate, including rules based on historical data, experience based on tacit knowledge summaries, and process flow standards, enabling VE to map the PC component production process and environmental release in real time.Bs). At the same time, the service (Fs) needs of PC component manufacturing enterprise managers for environmental release and worker health risk information acquisition are met through application software and clients, as shown in equation (8).Functional and business module design of the service layer. The service layer is designed to encapsulate various types of data, models, algorithms, and results in the simulation model in a service-oriented manner, to support the operation of the internal functions of the model and to provide functional services .Database establishment and data are interconnected in the data layer. The establishment of the database in the data layer is the key to realize the information linkage and transmission among other layers, mainly including Dp mainly includes physical element attribute data reflecting PE specifications, functions, performance, relationships, etc., as well as dynamic process data reflecting PE operating conditions, real-time performance, environmental parameters, sudden disturbances, etc., which can be collected through testing equipment, sensors and other equipment; Dv mainly includes data related to geometric models, physical models, behavioral models and rule models in VE, as well as simulation data based on the above models Ds mainly includes data related to Fs and Bs .CN) between the above four layers is shown in Equation (10).Inter-layer connection method design. After the above four layers are established, how to connect the layers together is another key technique to realize the proper operation of the simulation model. The connection Integrate the multi-objective model with the simulation model, combine simulation experiments with parallel experiments, and establish environmental release and worker occupational health risk evaluation criteria for PC component production for different products and different types of work , respectively. (2) Determine the number, location and scope of environmental release monitoring points according to the standards, set the concentration/intensity monitoring thresholds for different categories of emissions, and establish a multi-level risk warning system for workers' carcinogenesis and chronic diseases. (3) Compare the monitoring data of several PC component plants, summarize the characteristics of environmental release and workers' health risks, further optimize the monitoring program of monitoring points, thresholds and types of work, and form evaluation standards with high timeliness and universality, and promote and apply them in the whole industry.The occupational health risks of construction industry workers have been much higher than the social average. With the growing scale of prefabricated buildings, the work originally required to be done on site is shifting to the front end, and the health risks of on-site construction workers are shifting to industrial workers in prefabricate concrete component plants.Based on the intersection of engineering, environmental, and health management, this study tries to solve the root problems behind occupational health risks from risk identification, risk assessment, and risk control, the three processes such as the lack of measurement, assessment, and prevention standards. Through mapping physical entities to virtual simulation, feeding back the quantification and optimization results to practical applications, and then expanding individual projects to the whole industry, this study provides new ideas for theoretical research and innovative practice of HSE management and risk management in the construction industry. Firstly, the logical framework of occupational health risk is formed using the concept of life cycle risk management, which provides a new paradigm for the research in the field of occupational health risk management. Secondly, identifying the characteristics of the source of emissions and analyzing the diffusion propagation law and diffusion mechanism to understand the whole path process of environmental release. Afterwards, clarifying the human intake mechanism combined with the personal exposure assessment method that considers uncertainty factors. Finally, the simulation model of occupational health risk assessment for the whole process workers is formed, and finally it is applied to real cases to form a complete set of long-term management model of occupational health risks caused by environmental release.A reasonable risk assessment simulation model and a long-term management model are proposed in this study. In the future, more empirical researches need to be verified in the model to improve the measurement accuracy, refine the human exposure assessment method, and adjust the simulation parameters, and so as to help decision makers to formulate occupational health risk policy. Furthermore, the production of PC components is only one phase of the assembled building industry. Transport, construction and other phases also include a large number of workers whose health risks need to be considered in future studies.The original contributions presented in the study are included in the article/supplementary material, further inquiries can be directed to the corresponding author/s.PC led the overall study. HZ, ZD, and XJ conducted the analysis. HZ, ZD, XJ, PZ, and SZ drafted the manuscript with input from the other authors. All authors contributed to the concept and design of the study, the interpretation of data, revision of the manuscript for important intellectual content, and have read and approved the final version of the manuscript.This research was funded by Jiangsu Natural Science Fund (BK20200782) and Innovation and entrepreneurship training program for college students in Jiangsu Province (202110298026Z).The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest.All claims expressed in this article are solely those of the authors and do not necessarily represent those of their affiliated organizations, or those of the publisher, the editors and the reviewers. Any product that may be evaluated in this article, or claim that may be made by its manufacturer, is not guaranteed or endorsed by the publisher."}
+{"text": "Studies of the cognitive and behavioral factors of perpetuation and quality of life in patients with somatoform disorders are important for identifying targets for psychological interventions and risk groups .To reveal beliefs and behavior in patients with somatoform disorders associated severity of somatic complaints and poorer subjective well-being.125 patients with somatoform disorders 17-68 years old filled Screening for Somatoform Symptoms , Cognitions About Body And Health Questionnaire , Scale for the Assessment of Illness Behaviour , and Quality of Life Enjoyment and Satisfaction Questionnairie-18 .Severity of somatoform symptoms is higher in patients with catastrophization of bodily sensations, autonomic sensations, belief in their bodily weakness, somatosensory amplification, scanning for bodily symptoms, and disturbances in daily activities due to illness . Adjusting for the severity of somatoform symptoms, subjective well-being was lower in patients with higher belief in their bodily weakness and somatosensory amplification, autonomic sensations, expression of symptoms, and changes in daily activities due to illness .The results suggests that regardless of symptoms severity poorer quality of life in patients with somatoform disorders is associated with beliefs about body and body perception that could be addressed in psychotherapy."}
+{"text": "Broadly speaking, psychology is the scientific study of behavior and mental processes, while criminology is the scientific study of crime and criminal offenders. Psychological criminology (or simply as psycho-criminology), which combines the two, is generally concerned with the use of psychological knowledge and skills to explain, describe, and potentially prevent or deal with deviant and criminal behavior Hollin, . More spIn this Research Topic (RT), the focus lies on the application of psycho-criminological approaches and constructs to crime, criminal and civil law, and the influence of law on mental health and behavior. This RT aims to advance our understanding of psycho-criminological mechanisms associated with different criminal behavior in the intersections of mental health and the law. The 10 articles included in this RT explore varied aspects of crime and criminal behavior through the application of psychological concepts and theories to increase our understanding of crime, delinquents and criminal offenders, and their behavior. The highlight of this RT is the range of contribution conducted with six sampling populations, namely Spanish, mainland Chinese, Hong Kongers, Americans, Germans, and Italians. Besides, the collection of these articles addresses the different aspects in the criminal justice system from a psycho-criminological standpoint.Pecino-Latorre et al.. Using a sample of 448 homicides, this article examines the effectiveness and validity of the Action System model to distinguish thematically between the structure of the homicides and to generate a homicide typology in Spain based on the relationships between the modus operandi, and victim and offender characteristics. Four homicide typologies were identified: Expressive, Adaptive, Integrative, and Conservative. Next, Zhu and Shek investigate the effect of individual dimensions and the global positive youth development (PYD) measures on adolescent delinquency, individually; and the underlying mediating effect of life satisfaction. Employing a two-wave longitudinal data collected from 2,648 mainland Chinese adolescents, findings are found to be consistent with the general theoretical prediction of the PYD approach; in which different PYD attributes are inversely related to concurrent and future adolescent delinquency. Moreover, the negative predictions are mediated by the adolescents' life satisfaction. Also recruiting mainland Chinese adolescents, Xiong et al. construct a moderated mediation model to test the mechanisms underlying the relationship between perceived discrimination and proactive and reactive aggression in a longitudinal data of 470 mainland Chinese migrant students (aged 11\u201317). They observed that perceived discrimination fosters negative emotions, which in turns increase reactive aggression. Furthermore, socioemotional support reduces the negative impact of perceived discrimination on reactive aggression by weakening the relationship between perceived discrimination and negative emotions.This RT begins with an empirical study of testing a typology of Spanish homicides by Chan sampled 1,171 young adults (aged 18\u201340) to explore the psychosocial risk factors of risky sexual behavior (RSB) by testing the theoretical propositions of several criminological theories . Relative to females, males possess significantly higher mean levels of general, penetrative, and non-penetrative RSB; and negative temperament, use of alcohol and other drugs, and paraphilic interests. Males and females are generally sharing a similar set of psychosocial risk factors for their involvement in general, penetrative, and non-penetrative RSB. Similarly exploring risky behaviors, M\u00e9ndez et al. explore the different adaptation profiles in adolescents based on their interpersonal risk factors on drug use. Analyzing 1,201 secondary school students (aged 11\u201318 years) in Spain, a latent class analysis generated three different types of adaptation: Maladjusted group, At-risk group, and Adjusted group.In Hong Kong, Acklin and Velasquez argue that Structured Professional Judgment (SPJ) methods can be a corrective approach for unstructured clinical judgment that prone to evaluator bias and suboptimal levels of inter-rater reliability. The authors propose a SPJ model for criminal responsibility evaluations translated from violence risk assessment methodology. Sampling 230 patients in 13 forensic psychiatric hospitals in Germany, B\u00fcsselmann et al. measure the patients' quality of life in forensic psychiatric hospital using the Measuring the Quality of Prison Life (MQPL) questionnaire. They found that the adapted MQPL questionnaire demonstrates good internal reliability and construct validity. The next article by Titze et al. examine the self-reported acculturation processes and associated individual and social factors in a similar sampling population of 235 forensic psychiatric patients with a migration background in 11 forensic hospitals in Germany. The findings indicate that the patients oriented themselves more toward the culture of admission and less toward the country of origin than the reference sample did.Next, Rossetto et al. retrospectively compared 42 readmitted with 48 non-readmitted females in an Italian forensic psychiatric hospital through a minimum of 42 months follow-up (ranges from 3.5 to 10 years). Their findings indicate that readmitted females were positively associated with the presence of substance use disorders and a primary diagnosis on Axis II. The final article of this RT is authored by Brown et al.. They examine the fetal alcohol spectrum disorder (FASD) by proposing a renewed focus on applying and adapting the Risk-Need-Responsivity (RNR) approach to individuals with FASD in criminal justice settings. The authors argue that the use of RNR approach can better determining the needs and interventions in reducing the propensity of offender recidivism.In Italy, With studies conducted in Spain, Mainland China, Hong Kong, the USA, Germany, and Italy, the 10 articles in this RT collectively demonstrate the importance of applying psycho-criminological knowledge and skills to better understand the underlying mechanism associated with different criminal behavior in the intersections of mental health and the law. Having studies from different cultures and jurisdictions have clearly demonstrated that a combined etic-emic approach is arguably more appropriate when studying crime and criminal behavior, and developing culturally sensitive assessments and interventions (Ho and Cheung, The author confirms being the sole contributor of this work and has approved it for publication."}
+{"text": "Dear Editor,Tricho-rhino-phalangeal syndrome (TRPS) type I is a rare condition first described by Giedion in 1966. The main characteristics are sparse and slow-growing hair, a pear-shaped nose and coned epiphyses on the medial phalanges of the hands. The hair shafts are thin and miniaturized, as in androgenetic alopecia. There is a down-regulation of the TRPS1 gene in the baldness area, and the decrease of the same protein can impair endochondral cartilage differentiation and cell interactions in the development of hair follicles.Short stature, Legg-Calve-Perthes Disease , shortening of the toes (clinobrachydactyly), dystrophic nails, long philtrum, thin upper lip, and thinning of the distal third of the eyebrows may occur.2TRPS type I often shows an autosomal dominant pattern inheritance, but autosomal recessive inheritance can occur. Type II occurs sporadically, associated with mental retardation and multiple exostoses.The aim of this study is to report the investigation of a case of TRPS in an eleven-year-old girl with mechanical arthralgia in the knees for three years, without morning stiffness, she presented also shortening of the toes and ulnar deviation of the second, third and fifth fingers, bilateral osteochondromas in the supracondylar region, hair rarefaction, and three episodes of convulsive crisis. The neuropsychomotor development was normal. Parents were non-consanguineous and there was no history of repeated abortions. Regarding family history, the father is being treated for epilepsy, and siblings do not have any signs suggestive of genetic syndromes.On physical examination, bilateral hypermobility and deformity of the interphalangeal joints, thickening of the wrists, thinning of the skull, collapse of the nasal bridge, thin upper lip, pear-shaped nose , and higThe cranial tomography showed no changes. The knee radiography revealed a well-defined sclerotic lesion along the medial cortex of the distal diaphysis of the right femur. The patient is undergoing clinical follow-up with the Orthopedics team. The hand radiography showed a widening of the base of the middle phalanx from the second to fifth fingers, bilaterally . The ophThe diagnosis of TRPS type I is attained through typical clinical findings and radiographic findings of coned epiphyses, or the identification of a heterozygous pathogenic variant of TRPS1. For type II, the diagnosis is attained through typical findings of TRPS II and a contiguous chromosome 8 deletion that includes the genes TRPS1, RAD21 or EXT1.Treatment includes supportive measures from a multidisciplinary team .None declared.Evelyn Freitas Rodrigues: Statistical analysis; approval of the final version of the manuscript, design and planning of the study; drafting and editing of the manuscript; collection, analysis, and interpretation of data; effective participation in research orientation; intellectual participation in the propaedeutic and/or therapeutic conduct of the studied cases; critical review of the literature; critical review of the manuscript.Lisa Gava Baeninger: Statistical Analysis; approval of the final version of the manuscript; design and planning of the study; drafting and editing of the manuscript; collection, analysis, and interpretation of data; effective participation in research orientation; intellectual participation in the propaedeutic and/or therapeutic conduct of the studied cases; critical review of the literature; critical review of the manuscript.Caroline Romanelli: Statistical analysis; approval of the final version of the manuscript; design and planning of the study; drafting and editing of the manuscript; collection, analysis, and interpretation of data; effective participation in research orientation; intellectual participation in the propaedeutic and/or therapeutic conduct of the studied cases; critical review of the literature; critical review of the manuscript.None declared."}
+{"text": "Mindfulness-based interventions have received growing attention over the last years for the treatment of various mental disorders, including schizophrenia spectrum disorders (SSD), demonstrating their transdiagnostic validity. However, no study has examined the relationship of probable mechanisms underlying the therapeutic effects of mindfulness in SSD.The current study examines the relationship between mindfulness, depression, anxiety, and quality of life in individuals with SSD through quantitative measures.A total of 83 participants with SSD were recruited at the in- and outpatient facility of the Charit\u00e9 \u2013 Universit\u00e4tsmedizin Berlin in Germany. Participants completed the Southampton Mindfulness Questionnaire, Comprehensive Inventory for Mindful Experiences, and Freiburger Mindfulness Inventory, the Depression, Anxiety, Stress Scale, and the World Health Organization Quality of Life Questionnaire. PROCESS analysis examined the relationship between mindfulness and quality of life and the mediating role of depression and anxiety.Indicated a significant positive association between mindfulness and physical health, psychological and environmental quality of life. Depression and anxiety were found to mediate this relationship, with higher depression and anxiety scores being related to lower mindfulness and quality of life. In this relationship, however, depression was found to be the stronger predictor.The findings of this study provide insight into the mechanisms of mindfulness. Initial evidence for the transdiagnostic and process-based clinical relevance of MBIs for SSD has been found and future studies can further explore the role of mindfulness for central therapeutic processes of change by employing longitudinal designs.No significant relationships."}
+{"text": "Metamaterials for Wireless Power Transfer is a new open Special Issue of Materials, which aims to publish original and review papers on new scientific and applied research and make great contributions to the finding and understanding of the use of metamaterials for wireless power transfer (WPT) and related fundamentals, characterization, and applications. WPT technology is becoming an important topic for the wireless industry , which hMetamaterials for Wireless Power Transfer includes, but is not limited to, the following: low-frequency metamaterial-based WPT systems, electromagnetic compatibility in metamaterial-based WPT systems, wireless energy harvesting (WEH), theoretical research for metamaterial-based WPT systems, magneto-inductive and resonant waves in WPT systems via metamaterials, programmable metamaterials and metasurfaces for WPT systems, and SWIPT systems based on information metamaterials and metasurfaces.The research interest for the Special Issue"}
+{"text": "\u0421ognitive deficit significantly affects the quality of life of patients. Aims of research was detection of cognitive impairments of varying degrees in epilepsy, and as well as studying the results of complex treatment in conditions of University clinic, physical and psychological rehabilitation, cognitive training and VNS included.We studied the features of clinical and psychopathological manifestations of cognitive impairments in patients suffering from epilepsy.The study was attended by 100 patients (35 men and 65 women) who were inpatient care. The following psychodiagnostic techniques were used: the Toronto Cognitive Assessment TorCA, the test of 10 words of Luria, the MOCA test, the M\u00fcnsterberg test, the quality of life scale, the Hamilton scale of depression and anxiety.MCI was observed in 88 % patients, dementia in 12 % . We used non-pharmacological rehabilitation methods for correction of cognitive impairment in epileptic patients with MCI and mild dementia during 3 mounth.. Improving of cognitive function was observed in 48 % patients, stable level of cognitive function - in 36 %, progressing of cognitive imparment - in 16 % patiens with epilepsy.The results of the conducted research indicate the need for further study of the features of cognitive disorders in pharmacologically treatment resistant epilepsy and implementation of training aimed at improving cognitive function and preventing the progression of cognitive impairment in complex treatment of those patients."}
+{"text": "In recent decades, numerous studies provided consistent and convincing evidence that the adoption of healthy plant-based dietary patterns is a valuable strategy to reduce the risk of most non-communicable diseases ,2. SeverAmong the most recent areas of research, the potential action of polyphenols in the central nervous system and related diseases, including neurodegenerative disorders, is of major interest . Diet haIn our Special Issue entitled \u201cPolyphenols and Polyphenol-Rich Foods in Neurodegenerative Disorders\u201d, several articles are published that provide further evidence on the potential role of polyphenols in brain health. The study of Al-Musharaf et al. investigOverall, the Special Issue provides interesting insights on the role of certain polyphenols, especially underrated polyphenols such as phenolic acids, and brain health for the prevention of neurodegenerative diseases. Additional studies are encouraged for submission to further explore this research topic and broaden the field of exploration of polyphenols on the benefits for the human brain."}
+{"text": "As a research hotspot, deep learning has been continuously combined with various research fields in medicine. Recently, there is a growing amount of deep learning-based researches in orthopedics. This bibliometric analysis aimed to identify the hotspots of deep learning applications in orthopedics in recent years and infer future research trends.We screened global publication on deep learning applications in orthopedics by accessing the Web of Science Core Collection. The articles and reviews were collected without language and time restrictions. Citespace was applied to conduct the bibliometric analysis of the publications.Nature has the highest impact factor in the cited journals. The current hot keywords are convolutional neural network, classification, segmentation, diagnosis, image, fracture, and osteoarthritis. The burst keywords are risk factor, identification, localization, and surgery. The timeline viewer showed two recent research directions for bone tumors and osteoporosis.A total of 822 articles and reviews were finally retrieved. The analysis showed that the application of deep learning in orthopedics has great prospects for development based on the annual publications. The most prolific country is the USA, followed by China. University of California San Francisco, and Skeletal Radiology are the most prolific institution and journal, respectively. LeCun Y is the most frequently cited author, and Publications on deep learning applications in orthopedics have increased in recent years, with the USA being the most prolific. The current research mainly focused on classifying, diagnosing and risk predicting in osteoarthritis and fractures from medical images. Future research directions may put emphasis on reducing intraoperative risk, predicting the occurrence of postoperative complications, screening for osteoporosis, and identification and classification of bone tumors from conventional imaging. As a subset of machine learning, deep learning has broken the limitations of traditional machine learning, and can implement more accurate classification and segmentation of images to extract feature elements , 2. It iMost musculoskeletal diseases in orthopedics require a large degree of help from images. Given the advantages of deep learning in image processing, there has been a growing number of researches on the application of deep learning in orthopedics in recent years . BibliomCurrently, no bibliometric analysis has been conducted to quantitatively analyze the progress and current status of deep learning in this emerging field. Herein, this study aimed to elucidate the research hotspots, key fields, and trends of deep learning applications in orthopedics in recent years by using Citespace, Moreover, the research direction and references for further exploration were shown as well.* OR orthopedic* OR \u201csports medicine\u201d) OR TS = , #2: TS =\u201cdeep learning\u201d OR TS = \u201cconvolutional neural network*\u201d). There is no limit to the publication year. The type of literature was selected as articles and reviews without language restriction. Literature not relevant to this topic was excluded, and duplicate literature was removed by Using Citespace (5.8 R3). Finally, a total of 822 articles were retrieved and exported for records in the format of plain text files. Meanwhile, we also obtained the number of annual publications and the amount of publication of the journal.Since the details of the documents in the Web of Science are more accurate than other databases, such as Scopus, PubMed, Embase, etc. We retrieved all literature from the Web of Science Core Collection. The retrieval was completed within 1 day on March 29, 2022 to reduce changes due to frequent updates to the bibliographic database. The searching strategy was as follows: #1 and #2 (#1:WC = (orthopedics) OR TS = were identified. The number of studies published in each year can help us understand the general trends in the relevant research. Since 2022 has just begun, the number of documents in 2022 cannot show the overall publication situation. Therefore, the analysis only included the publication from 2015 to 2021. As shown in We used Citespace to conduct co-citation analysis of the countries (or regions) and institutions. The country or region distribution map consisted of 56 nodes and 53 links. As demonstrated in A total of 250 authors were involved in the cooperative map . As showSkeletal Radiology (33 times) had the highest number of outputs, followed by IEEE Access (28 times), Scientific Reports (25 times), Computer Methods and Programs in Biomedicine (19 times), Applied Sciences Basel (17 times), Diagnostics (17 times), International Journal of Computer Assisted Radiology and Surgery (15 times), Journal of Digital Imaging (14 times), Medical Image Analysis (14 times), and Sensors (14 times). The co-occurrence analysis of cited journals obtained from Citespace was shown in Lecture Notes in Computer Science (345 times), In Proceedings of The IEEE Conference on Computer Vision and Pattern Recognition (324 times), Medical Image Analysis (287 times), Radiology (280 times), IEEE Transactions on Medical Imaging (274 times), Scientific Reports (197 times), Nature (190 times), Journal of Digital Imaging (185 times), PLoS One (179 times), and American Journal of Roentgenology (149 times).The 822 articles retrieved in this study were published in 308 journals. As shown in A total of 464 nodes and 733 links presenting the co-citation relationship of the references formed the cited reference network in The high-frequency keywords the article can help us understand the main research hotspots of the filed. Keyword co-occurrence analysis was performed by Citespcace. The co-occurrence network of keywords had a total of 265 nodes and 404 links . The higThe clustering of keywords can present the structural system of related research fields. The sixteen different clusters made through Citespace were shown in The strong burst keywords can help us explore the development trends of the filed. We use Citespace's burst function to analyze keywords that have attracted much attention from academia. The burst keywords were shown in This study utilized the principles of bibliometrics analysis and the method of Citespace visualization. In the application of deep learning in orthopedic filed, the annual number of articles, countries (or regions) and institutions, authors and cited authors, journals and cited journals, and keywords were extensively analyzed to reveal the current research hot-spots and trends in this field.Based on an analysis of countries (or regions) and institutions, the USA and China were the two most documented countries, but there was a lack of international cooperation between them. More international cooperation is needed for China to jointly promote development in this field. England, Australia, and Canada had high centrality and publications, suggesting that these countries might play an essential role in bridging research. At the same time, most of the top ten institutions with the most centrality and publications are from China and the USA, but these institutions basically cooperate with other institutions in their countries. Therefore, from the perspective of cooperation networks, we hope that there will be more cooperation between different countries.Through the analysis of the author cooperation network, we found that the top ten authors mainly constituted three cooperative networks. In the cooperation between the two authors in the deep learning field, VALENTINA PEDOIA and Sharmila MAJUMDAR , the most cited literature showed that the improved U-net can automatically segment cartilage and meniscus from MRI . PAUL H As to the analysis of a network of cited authors, the most frequently cited author-LeCun Y believed that deep learning is good at processing high-dimensional data, and can accurately identify and classify targets in image recognition tasks . SimilarAccording to the journals and co-cited journals in Among top ten co-cited references, these references are usually the basis of relevant knowledge fields and play an important role in knowledge structure. For three proceedings papers, Ronneberger O, He KM, and Huang G built new models for deep learning in 2015, 2016, and 2017, respectively, which strengthened the ability of deep learning to process images. These models are deep residual learning, densely connected convolutional networks, and U-net . ArticleKeywords are the cores of a paper that reflecting the concerns of relevant field. By analyzing the high-frequency keywords and strong-burst keywords, we can explore the hot-spots and research trends. The main research hotspots and research trends are as follows:After the first report of deep learning in fracture by Olczak et al. , the numFor upper extremity fracture, deep learning is commonly applied to distal radius fracture and humeral fracture \u201326. Gan In lower limb, hip fractures attracted much attention. Cheng et al. proved that deep learning model can automatically identify femoral neck fracture and trochanteric fracture through pelvic X-rays, with 98% sensitivity and 91% accuracy . Mutasa Moreover, studies showed that deep learning can also help to reveal vertebrae fracture as well. Murata et al. accurately identified vertebral fractures on plain thoracolumbar radiography . UsuallyOsteoarthritis is the most common musculoskeletal disorder, which mainly affects the hip and knee joints with large weight bearings, especially the knee joint. Initially, a proceedings paper showed the use of CNN to analyze Kellgren & Lawrence (K&L) grades based on knee radiographs . Then, TDeep learning is often applied to the classification and diagnosis of diseases. However, with the development of deep learning, this technique will also be applied to perioperative management of orthopedic surgery. Nowadays, deep learning is being gradually explored in the study of orthopedic surgery. Since the visual field in arthroscopic surgery is often affected by different angles of the joint, which requires repositioning in different visual fields, automatic localization under the arthroscopic field of view is urgently needed. Recently, Banach A et al. collected arthroscopic videos and performed deep learning on video sequences at four different knee angles, and the results showed that deep learning performed well in arthroscopic field of view . BesidesFrom the timeline viewer of keywords, we found that the study of fractures and osteoarthritis gradually began to study in-depth from 2016 to 2019. We also paid special attention to the direction of gradual in-depth research after 2019, such as osteoporosis, and bone tumors (osteosarcoma). Osteoporosis often occurs in older or postmenopausal women, and is usually detected because of fractures, thereby screening for osteoporosis may help prevent osteoporotic fractures in many patients. Deep learning can help predict osteoporosis and the possible fracture risk , 51. AltSeveral limitations remain in this study. First, as the literature in the Web of Science Core Collection is constantly updated, and there is currently no uniform regulation on keywords related to the literature, the results of this study may differ from the actual number of documents included. Second, deep learning first appeared in seminars or conferences, and then gradually appeared in journals in the form of article. Since we consider that article has more systematic research, so it is strictly regulated in literature inclusion, which may introduce certain bias to this study. However, it is believed that literature-based visual analysis has undoubtedly laid a foundation for investigators to quickly understand the research hot-spots and development trends of deep learning applied in orthopedics.In conclusion, according to the annual publication curve, the research on the application of deep learning in orthopedics has developed rapidly, and there is a good research prospect. Accordingly, researchers in the field of deep learning and orthopedics may benefit this study. The USA is the country with the largest amounts of articles in this field. University of California San Francisco, the institution with the largest amounts of articles, is also from the USA. However, cooperation between different countries is markedly insufficient. The application of deep learning in orthopedic research has been published in journals of various discipline categories, and multidisciplinary communication conforms to the mainstream of today's world. The current research hot-spots mainly focused on the classification and diagnosis of orthopedic diseases that rely heavily on medical images, such as fractures and osteoarthritis. The application of deep learning to reduce intraoperative risk, predict postoperative risk, screen osteoporosis, and identify, classify, and segment bone tumors may be at the fore-front of the future. At the same time, with the rapid development of deep learning applications in orthopedics, researches in this field will continue to evolve toward multicentric data and more perfect deep learning algorithms.The original contributions presented in the study are included in the article/supplementary material, further inquiries can be directed to the corresponding author.CF: investigation, data analysis and visualization, and writing\u2014original draft preparation. XZ, HW, YH, and ZL: investigation and editing. CT: conceptualization, supervision, and writing and revision. All authors have read and agreed to the published version of the manuscript.This work was supported by grant from the National Natural Foundation of China (81902745), Hunan Provincial Natural Science Foundation of China (2022JJ30843), the Science and Technology Development Fund Guided by Central Government (2021Szvup169), Hunan Provincial Administration of Traditional Chinese Medicine Project (No. D2022117), and Clinical Research Center for Medical Imaging in Hunan Province (2020SK4001).The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest.All claims expressed in this article are solely those of the authors and do not necessarily represent those of their affiliated organizations, or those of the publisher, the editors and the reviewers. Any product that may be evaluated in this article, or claim that may be made by its manufacturer, is not guaranteed or endorsed by the publisher."}
+{"text": "The European\u2013Latin American Consortium towards Eradication of Preventable Gallbladder Cancer, EULAT Eradicate GBC, is collecting high-quality data and samples in four Latin American countries with high gallbladder cancer incidence to build a unique biorepository integrated into a tailored IT platform, to identify, validate, and functionally characterize new risk biomarkers, and to develop prediction models that integrate epidemiological and genetic\u2013molecular risk factors. We decided to develop an application for electronic data collection to facilitate the retrieval of sociodemographic, clinical, lifestyle, dietary, and sample-related information from 15,000 Latin American study participants. The application EULAT eCollect will facilitate the work of study nurses, reduce time spent by participants, limit the use of paper and ink, minimize costs and errors associated with filling out written forms and subsequent digitisation, and support the monitoring of local recruitment rates and data quality. We describe in this article the design and implementation of the EULAT eCollect application, which started with the specification of functional and non-functional requirements, and ended with the implementation and validation of four separate application modules: Socio-Demographic Interview, Sample Information, Case Report Form, and Food-Frequency Questionnaire. We present both general and technical results, and our experience with the free and open-source software, Open Data Kit (ODK), which may be of interest for future related research projects, especially those on personalised cancer prevention carried out in low- and middle-income regions. Gallbladder cancer (GBC) is the most common neoplasms of the biliary tract ,2. GBC tAmong the risk factors associated with GBC, female gender, age, gallstones (cholelithiasis), genetic ancestry, obesity, multiparity, and socioeconomic and educational levels are the most important ,4. The lCurrently, there are no tests that reliably detect GBC early enough to be useful as screening tools ,7. Due tA European\u2013Latin American research consortium towards eradication of preventable GBC\u2013EULAT Eradicate GBC\u2014has been established with funding from the European Union\u2019s Horizon 2020 programme to identify factors related to the development of GBC, to find biomarkers in blood, saliva, urine, and faeces that allow individual risk prediction and early diagnosis of the disease, and to facilitate the development of better primary, secondary, and tertiary prevention strategies . The conThe stated goals of the EULAT Eradicate GBC project can only be achieved through collaboration between European and Latin American researchers, clinicians, governmental authorities, and representatives of cancer-patient societies. We plan to leverage samples and data from European cohorts and registries, and collect and analyze data and samples from 15,000 Latin American participants to build a unique European\u2013Latin American GBC biorepository complemented by a customized IT platform applying a translational and multidisciplinary approach. It is challenging to collect high-quality socio-demographic, clinical, lifestyle, dietary, and sample-related information for this large number of study participants, mainly from low-income regions in four South American countries, which led us to develop a customized computer application to support not only the data-collection process but also the monitoring of local recruitment rates and data quality. The application for electronic data collection in the EULAT Eradicate GBC project (EULAT eCollect for short) was designed to facilitate the work of study nurses by, for example, displaying different questions depending on the characteristics of patients and samples, reduce the time invested by study participants in the interview, which is particularly important for patients in poor health, limit the use of paper and ink, and minimize costs and errors associated with the written completion of forms and subsequent digitisation by medical documentalists. Important requirements for EULAT eCollect were the ability to collect and store data without a stable internet connection, and the secure transfer of data to the storage server when the internet is available.This article describes the process of designing and developing the application EULAT eCollect to facilitate the collection, storage and future analysis of high-quality information from patients and their families. EULAT eCollect consists of four separate modules: Socio-Demographic Interview, Sample Information, Case Report Form, and Food-Frequency Questionnaire. We first present the specification of the functional and non-functional requirements, then the design of the application architecture, and conclude the manuscript with a description of the four implemented modules and the usefulness of EULAT eCollect to monitor recruitment rates and data quality.The process of designing and developing an information technology (IT) infrastructure for electronic data collection was based on typical software engineering methodology . The defEULAT eCollect was designed to support patient-data collection by incorporating the functional and non-functional requirements needed to make it easy and secure for the recruiting personnel. Study participants are interviewed by trained nurses before surgical gallbladder removal at the participating hospitals, or in the participant\u2019s home . After the complete process of informed consent, which includes a detailed description of study objectives and participant rights, clarification of any questions or concerns the potential participant may have, and signing of the consent form, recruitment personnel apply a socio-demographic questionnaire. Interviews are always conducted in a private room to protect data confidentiality.The specification of functional requirements see includedThe non-functional requirements refer to technical aspects of the web application, such as usability, information security, access to and quality of the internet, and the hardware performance . RegardiThe project contemplates collecting, storing, and analysing sensitive information to reach the project\u2019s objectives, which implies a significant challenge of keeping confidentiality and protecting participants\u2019 data. The information collected to improve the prevention and early diagnosis of GBC in Latin America contains sensitive data. Part of the data collected is considered clinical information, and the legislation of the participating countries mandates that this type of information is stored, processed, and used appropriately . AccordiThe application EULAT eCollect for electronic retrieval of patient and sample information was developed and is currently being applied to guarantee standardized data collection at all project recruitment sites. The following complementary activities were also carried out to ensure the establishment of a harmonized project biorepository: development and application of technical operational guidelines, training of recruitment staff in biobanking and biorepository procedures, establishment of a data and sample quality assurance programme, and development and establishment of automated quality control and standardized data-management procedures.EULAT eCollect was organised into four separate modules, taking into account that the ultimate objective of the EULAT Eradicate GBC project is to identify major modifiable dietary and lifestyle risk factors , body size/shape measurements, and reproductive and hormonal factors, and to evaluate possible differences by gender and ethnicity. In a first step, the association between dietary and lifestyle characteristics and GBC risk will be assessed using multiple conditional logistic regression models. Biologically plausible effect-modifiers will then be considered by investigating potential interactions between biomarkers and dietary/lifestyle risk factors. With these goals in mind, the following application modules were considered:Module 1: Socio-Demographic Interview. The development of this module combined our own experience from previous GBC research [research with theresearch .Module 2: Sample Information. The aim of this module was to facilitate the collection of relevant information on different types of samples . The type of samples collected depends on the type of study participant, and our application simplifies the work of staff processing study samples by asking for participant-specific information. The data collected includes transport, processing, and storage conditions, which greatly facilitates the automatic generation of pre-analytical sample quality indicators.Module 3: Case Report Form. This module was developed to collect clinical patient information, the characteristics of resected gallbladder specimens, and treatment information. We tried to incorporate the research interests of all collaborating clinicians, and also took into account the latest guidelines for pathology reporting [eporting .Module 4: Food-Frequency Questionnaire. This module was based on a validation study of a self-administered food-frequency questionnaire for Argentina, Chile, and Uruguay [ Uruguay .The four modules were implemented using the free and open-source software ODK . The widAfter creating an application prototype, EULAT eCollect modules were validated with the help of an R script developed for this purpose, which was used to calculate quantitative and qualitative indicators for the data collected. In June 2021, we analyzed a pilot dataset using both the R script and manually calculated indicators. The few discrepancies were identified and corrected, leading to the final version of EULAT eCollect, which is now fully operational and has been used for almost a year to recruit gallstone and GBC patients in Argentina, Bolivia, Chile, and Peru, with a positive experience so far. A bioinformatics engineer (J.G.D.) was responsible for the technical deployment with the active support of the head of the Biomedical Informatics Laboratory at the Universidad de Talca (S.G.M.). The project coordinator (J.L.B.) and the project manager in Latin America (C.B.P.) were in charge of formulating and verifying the application requirements, with excellent support from the Biobank of the Universidad de Chile during the validation phase. The entire team spent six months creating the application prototype and another two months making the necessary modifications during the validation phase.A fundamental input for the design of EULAT eCollect was the requirements identified and listed in After defining the functional and non-functional requirements for EULAT eCollect, we started its design and implementation. The application was developed under a model\u2013view\u2013controller architecture to separate the views of the data model and the business logic . Figure EULAT Eradicate GBC data can also be collected via a web browser on a desktop or mobile device and to guarantee consistency with the Chilean National Health Surveys. Standard answers were formulated to avoid typing errors and mandatory fields were defined to limit the amount of missing information.After the informed consent, recruitment personnel enter their authentication credentials and select the type of participant. The application EULAT eCollect displays specific questions for four types of participants: (1) cholelithiasis patient, (2) GBC patient recruited before any treatment , (3) GBC patient recruited after treatment, and (4) first-degree relative of a GBC patient (proband) in a family with multiple members affected by GBC.The patient interview is structured into eight to nine sections: (I) basic information, e.g., participant code, recruiter identifier, and type of participant, (II) demographic information, (III) socioeconomic information, (IV) lifestyle factors, (V) individual health history, (VI) family health history, (VII) body measurements, (VIII) physical activity, and (IX) gynaecological information (for women only). In Bolivia and Peru, an additional item on coca-leaf use was included in the interview. Visual aids are used when conducting the interview, especially for questions on lifestyle and physical activity , to stanAfter biospecimen collection, samples are processed, aliquoted, and stored in compliance with all relevant ethical and legal regulations for biomedical research, and to the standardized operating procedures of the EULAT Eradicate GBC research project. The second module of the EULAT eCollect application facilitates the electronic retrieval of sample information from the donation of blood, urine, faeces, and saliva, through transport to the laboratory, to sample processing and storage, enabling the automatic creation of customized sample inventories for shipment, receipt, and further processing, including pre-analytical quality indicators for the different types of stored samples . Recruitment staff collect different biospecimens depending on the type of participant. For example, only saliva is collected from GBC patients who have been cholecystectomised or started chemotherapy. In contrast, cholelithiasis patients donate blood, urine, and faeces before cholecystectomy. After authentication, the staff responsible for sample processing and storage, which may be different from the staff who collected the samples, selects the type of sample in EULAT eCollect, which then displays specific questions depending on the type of sample and previous answers . For exaThis module of the application facilitates the collection of clinical patient and anatomical\u2013pathological gallbladder information, taking into account the research interests of participating clinical partners , particularly in view of future studies on early diagnosis, predictive and prognostic biomarkers, and personalised treatment. To illustrate, information collected on GBC patients includes method of diagnosis, tumor stage, lymph node involvement, presence and location of metastases, histological type of the tumor, and comorbidities, as well as information on surgical procedures and treatment . Central to the design and implementation of this module were the latest guidelines for pathology reporting . The casThe fourth module of EULAT eCollect enables the electronic application of a food-frequency questionnaire validateAn important feature of EULAT eCollect is its usefulness for real-time tracking of patient recruitment in each recruitment site of the EULAT Eradicate GBC project using qualitative and quantitative indicators. Briefly, the forms sent by recruitment personnel to the project\u2019s secure server are processed using R scripts to generate 19 indicators on the number of patients recruited, and on the quality of collected samples and socio-demographic, clinical, and dietary information.Quantitative indicators include the cumulative number of forms collected; stratified by form type ; the number of patients with all forms completed, as pathology reports required to complete case report forms are usually available 3\u20134 weeks after cholecystectomy; the distribution of participants according to participant type at interview , the total number of recruited participants per month; the distribution of participants according to type/s of donated samples ; and the distribution of patients according to anatomy reports . In addition to reports in tabular format , R scripts also generate useful figures that facilitate comparison of the recruitment progress between recruitment sites .Qualitative indicators include the proportion of patients with all forms completed, the proportion of incomplete, non-compulsory fields in the four modules of EULAT eCollect , and the proportion of samples showing deviations from the sample processing protocol. Thresholds were defined and validated for specific indicators and indicators are highlighted in the monitoring reports when thresholds are exceeded.Research on GBC has been largely neglected, as this aggressive disease is relatively rare in most high-income countries. Several South American regions including northeaster Argentina, Bolivia, Chile, and southern Peru, have a high GBC incidence ,4,5. InhDefining functional and non-functional requirements was the first step in designing the application EULAT eCollect. Functional requirements included minimizing interview time, especially for frail study participants, avoiding errors when creating the sample inventory using barcode readers or mobile phone cameras, taking into account the latest pathology guidelines and applying previously validated food-frequency questionnaires. Non-functional requirements comprised the ability to collect data without internet connection and the secure transfer of data, which takes place via HTTPS protocols. Digest authentication with an encrypted form of the password stored on the server is used to secure username and password authentication.EULAT eCollect enables electronic data collection for the EULAT Eradicate GBC project via mobile devices . Once the application is installed, staff recruiting study participants and processing samples can download, fill in, and send the four forms developed for the project. The first module of EULAT eCollect facilitates the recording of the main established and potential GBC risk factors in accordance with the Chilean National Health Surveys. The second module of the application facilitates the electronic retrieval of sample information from biospecimen donation to sample storage, enabling the automatic generation of sample inventories that include pre-analytical quality indicators. A practical feature of the third module of EULAT eCollect is the ability to upload images and PDF files of blood tests and pathology reports for case report forms. Finally, the Food-Frequency Questionnaire embedded in EULAT eCollect allows for efficient collection of comprehensive nutritional information. An important activity in the EULAT Eradicate GBC project is the monitoring of patient recruitment, which is greatly facilitated by the automatic generation of quantitative and qualitative indicators through the EULAT eCollect application.The free and open-source ODK software was chosen for the implementation of EULAT eCollect. ODK provides convenient tools for developing a data-collection system with an integrated database . The fleThe collection, storage and analysis of sensitive information to reach the objectives of the EULAT Eradicate GBC project is a major challenge\u2014confidentiality must be maintained, participants\u2019 data must be protected, and the participating countries have different legislation for the use of sensitive patient data. Therefore, we have paid special attention to information security in the development of EULAT eCollect. The four application modules were built in such a way that the identity of the patients remains anonymous\u2014components of data records that would allow participant identification are replaced by pseudonyms on-site, and only treating physicians know patient identity. In addition, data are transferred via HTTPS protocols for which a key and certificate are generated based on regulatory requirements, firewalls restrict access to the servers where data are stored, and administrative access is limited to the management of the institution\u2019s intranet.The EU-funded project EULAT Eradicate GBC is collecting high-quality data and samples from 15,000 study participants to identify geographic, environmental, lifestyle, ethnic, and molecular differences in GBC risk and prognosis, and to translate the results into optimised GBC-prevention programmes considering the specificities of national health systems. The collection of high-quality information for this large number of participants in low- and middle-income regions is challenging and motivated the design and development of a customized computer application, EULAT eCollect, which we describe in this article.EULAT eCollect can be easily adapted or used directly for electronic data collection in similarly oriented research projects, and we explicitly offer our support in this direction. For example, current and future research projects on the prevention of gastric, colorectal, and biliary malignancies in Latin America could benefit from our experience in designing and implementing the application. Modules 1, 2, and 3 will probably require some modification to take into account established and potential risk factors for the disease under investigation, the type of samples and aliquots collected in the project, and clinical characteristics according to generally accepted guidelines, but Module 4 could be used directly after clarification of data storage. We also offer to share, interested researchers, our list of quantitative and qualitative indicators for monitoring of the participant recruitment."}
+{"text": "The skeletal system is generated and maintained by its progenitors, skeletal stem cells (SSCs), across the duration of life. Gradual changes associated with aging result in significant differences in functionality of SSCs. Declines in bone and cartilage production, increase of bone marrow adipose tissue, compositional changes of cellular microenvironments, and subsequent deterioration of external and internal structures culminate in the aged and weakened skeleton. The features and mechanisms of skeletal aging, and of its stem and progenitor cells in particular, are topics of recent investigation. The discovery of functionally homogeneous SSC populations with a defined cell surface phenotype has allowed for closer inspection of aging in terms of its effects on transcriptional regulation, cell function, and identity. Here, we review the aspects of SSC aging on both micro- and macroscopic levels. Up-to-date knowledge of SSC biology and aging is presented, and directions for future research and potential therapies are discussed. The realm of SSC-mediated bone aging remains an important component of global health and a necessary facet in our understanding of human aging. A remarkable proportion of healthcare costs are attributed to skeletal disease . In 1990Fundamentally, the vertebrate skeleton is a remarkably dynamic and complicated organ. Throughout life, nearly every bone in the body continually deconstructs and regenerates itself in order to maintain structural and mechanical integrity . This hiThroughout life, adult stem cells are responsible for replenishing and restoring tissues of the body. Evidently the natural process of aging diminishes the capability of adult stem cells to maintain these systems in a youthful and resilient state. In the skeletal system, aging corresponds to a decline in the regenerative and restorative potential of its progenitor cell population, and through replicative exhaustion, chromatin remodeling, and changes to the intra- and extracellular transcriptional landscape, the skeleton becomes less capable of maintaining its dynamic stability .The foundation for skeletal integrity lies in the cellular progenitors of the skeletal system supplying bone tissue with its building blocks of mature cell types. Significant effort has been made in identifying the bona fide progenitors of bone- and cartilage-forming cells, and indeed much debate remains over the precise cellular identity and definition of such progenitors ,10. A loOnly within the past decade have advances in lineage tracing and cell sorting using multiple surface markers revealed more functionally homogeneous populations of self-renewing, lineage-restricted progenitors of bone, cartilage, and stromal cells that have the unique capacity to effectively reconstitute the skeletal niche in-vivo \u201321. ThesIn search of the transcriptomic identity of SSCs, the apparent features of aging in the skeletal system reveal itself . In agedIn many regards, biological aging itself is a process that is poorly understood. Theories on the causes of aging point towards genomic instability and progressively deleterious epigenetic modifications that produces an aged, unstable cellular phenotype . EvidencThe mechanisms of aging in SSCs remain less clear but are under current investigation, with focus on relating the functional differences between young and aged cells. A summary of gene pathways altered in aged cells and their effect on SSCs and skeletal tissues is provided in Within the skeletal niche, hematopoietic stem cells (HSCs) reside alongside skeletal cell types and share an age-related decline in lineage diversity potential . A hallmLastly, evidence of age-related differences of SSCs in the histone deacetylation protein Sirtuin1 suggests a mechanism for epigenetic control of SSC differentiation . In thisCurrent approaches to treating age-related decline in bone and cartilage health rely almost exclusively on maintaining the balance of bone resorption and production by targeting osteoclast and osteoblast activity . TreatmeDirected application of stem cell therapies in humans remains largely under investigation, but provides an enticing avenue for minimally disruptive, highly regenerative treatment . StudiesAccumulation of senescent SSCs may play a role in age-related skeletal regeneration deficiencies, and indeed in-vivo studies in mice have demonstrated a reversal of age-related bone loss by eliminating senescent cells . RemodelIn general, our understanding of aging among organisms remains elusive. While the role of aging in nature is not clearly delineated, evidence of unusually long lifespans in the animal kingdom, the longest of potentially 300 or more years belonging to the Greenland shark, suggests the potential for expansion of the human lifespan, and the potential to reverse or elongate youthful features of human tissues through targeting of stem cells ,66. MuchIndeed, the loom of aging evades no known animal. Regardless, the prospect of delaying or reversing the effects of aging serves as motivation to understand the systems that generate our bodies. Much progress has been made in recent years to reveal the process by which the skeleton is generated and maintained. The discovery of functionally homogeneous SSC populations identified by a combination of surface markers has therefore unveiled the potential for directed and reliable studies into the nature of the progenitor cells of the skeletal system. Moreover, the complexities of skeletal aging can more readily be elucidated by studying the changes in cellular function and expression profile across age groups. Several studies have already identified key features of SSC aging and its components, but more work is needed to better clarify cellular mechanisms that, in aggregate, generate an aged and dysfunctional skeletal niche, and subsequently an aged and dysfunctional skeletal system."}
+{"text": "Historically, the science of Psychology and the practice of psychological assessment in Africa have been influenced by Western ideologies and practices , Frontiers or do not support faculty with the APC. That researchers are often restricted by lack of funding to publish their work in high impact outlets like Frontiers is highly problematic and undermines our collective efforts in overcoming some of the limitations in hegemonic psychological theory, research, and praxis.To diversify the pool of potential contributors, we invited as many Africa-based and Africa-focused researchers and practitioners as possible through the use of: (1) the professional networks of the guest editors; (2) websites of African departments; (3) Africa-based and Africa-focused journals, books, and book chapters; and (4) invitations to individuals whose previous work appeared consistent with the goals of this RT. We invited a total of 269 prospective contributors, out of which 212 were unresponsive, 23 declined our invitation, 20 withdrew, and 14 confirmed their participation. We accepted 15 abstracts and expected additional 2 manuscripts from researchers who requested permission to submit after the deadline for receiving abstracts had elapsed. Of the 17 expected submissions, we received 12 full manuscripts. We accepted seven of these for publication. Unfortunately, the response to this RT was negatively affected by the Article Processing Cost (APC), given that many African universities do not have institutional agreements with van der Merwe et al.), a perspective , development of ethical guidelines for online mental health screening tools (Hassem and Laher), an evaluation of an adaptation to a self-directed format of the Grade 9 Career Guidance Project , and application of approaches to construct validity .The seven (7) papers accepted for publication in this RT were mostly authored by South African and Ghanaian researchers. More recently, Serpell et al. reportedvan der Merwe et al. and van Vuuren et al. provide guidance on how to approach the process of contextualizing assessment tools as well as the factors that influence the assessment process in the African context. For instance, van der Merwe et al identified contextual factors, the school learners' test-taking skills/familiarity and prior learning, and the school learners' cognitive abilities that affect the applicability of the test instrument when imported into other settings. Similarly, van Vuuren et al. raised the concerns of culture and language in the development of psychological tests, highlighting the challenges associated with test adaptation and translation and offered some guidance on how to navigate cultural and language issues in the development, adaptation, and translation of tools assessing intelligence and similar constructs.Together, the work by Hassem and Laher and van Schalkwyk et al. provided guidance on how to contextualize intervention programme or guidelines in the South African context. In this regard, Hassam and Laher presented guidance to researchers on the practical steps required to either contextualize an existing ethical guideline or develop new ones using a two-phase in-depth interview with mental health experts. On the other hand, van Schalkwyk et al. provided evidence via a mixed-methods design to evaluate teachers' support for the use of a self-directed manualised booklet to assist Grade 9 learners to explore their career interests and their knowledge of self. The reliance on teachers' evaluative feedback serves as key approach to assessing implementability of similar programmes. In particular, the assessment of relevance, appropriateness of methods of adaptation, and suggestions for improvements are important standards for evaluating any ethical guidelines.Further, Anum; Khumalo et al.; Tadi et al.) sought to provide evidence of construct validity using different approaches. Tadi et al. employed the theory-consistent group differences approach and LCA to investigate the validity of the dual-continua model among young adults from Ghana, Kenya, Mozambique, and South Africa who completed the Mental Health Continuum\u2014Short Form (MHC-SF) and PHQ-9. Both studies are exemplary as they utilized CFA , LCA, large sample sizes, and cross-national samples to enhance the validity evidence they produced. Finally, Anum employed appropriate developmental changes and theory-consistent group differences approaches to investigate the relative impact of age and socio-economic status (SES) on fluid and crystallized intelligence. He showcased that the type of school attended (private or public) can reasonably be used as a proxy for SES among young children and offered practical steps on the use of appropriate developmental changes approach to construct validity.The last set of studies (Gregory, to examiWe hope that this RT will inspire Africa-based researchers and practitioners to become more conscious of the need to adapt or generate context-responsive assessment tools, show preference for validated versions of tools, and contribute to culturally appropriate guidelines and testing practices in Africa and the Global South.SO developed the first draft. RA, GH, JK, and SO edited and improved it until a final version was agreed upon. All authors contributed to the article and approved the submitted version."}
+{"text": "Differentiated thyroid carcinoma (DTC) is on the rise worldwide and ranks first among endocrine cancers . The surMajor efforts have been made to reduce the surgical burden in low-risk tumours and in diagnostic procedures. Other surgical contraventions, such as the role of central neck dissection, especially prophylactically, has been questioned given its risk-benefit ratio; the role of active survival in low-risk DTC; non-surgical interventions such as radiofrequency and thermal ablations are among the studies included in these current Research Topics. Other aspects relate to the use of technology to minimise potential complications and adverse outcomes of thyroid surgery - use of intraoperative nerve monitoring to reduce recurrent laryngeal nerve injury, remote surgical approaches that avoid visible neck scars, and more.After completion of primary treatment, patients with DTC can usually remain healthy and return to their former lives , 4. HoweIn addition to objective factors that have an obvious impact on quality of life, such as postoperative complications, recurrence, etc., subjective quality of life, i.e. patient-centred factors in treatment options for DTC, has become an important topic in recent clinical trials \u20134. This Factors influencing the quality of life of DTC patients include physical and psychological symptoms, self-efficacy and social support , 3. ClosThe more severe the symptoms in DTC patients, the greater the psychological distress, the lower the physical and social functioning and the poorer the overall quality of life . Social The concept of quality of life is currently gaining importance in the evaluation of treatment procedures . When coPhysicians should discuss the expected outcomes after thyroid surgery with patients in order to increase patient satisfaction and quality of life through detailed information.AK, OC and GD: writing and revising the manuscript. All authors contributed to the article and approved the submitted version."}
+{"text": "RNA-Seq and mass spectrometry-based studies generate omics data tables with measurements for tens of thousands of genes across all samples in a study. The success of a study relies on the quality of these data tables, which is determined by both experimental data generation and computational methods used to process raw experimental data into quantitative data tables. We present OmicsEV, an R package for the quality evaluation of omics data tables. For each data table, OmicsEV uses a series of methods to evaluate data depth, data normalization, batch effect, biological signal, platform reproducibility and multi-omics concordance, producing comprehensive visual and quantitative evaluation results that help assess the data quality of individual data tables and facilitate the identification of the optimal data processing method and parameters for the omics study under investigation.https://github.com/bzhanglab/OmicsEV, and the source code is released under the GPL-3 license.The source code and the user manual of OmicsEV are available at RNA-Seq and mass spectrometry (MS)-based proteomics provide global measurements of the abundance of genes and their protein products in samples of interest. These measurements are usually stored in quantitative data tables for downstream analysis. The success of an omics study is largely determined by the quality of these tables, which in turn depends on the quality of both experimental data generation and computational methods used to process raw experimental data into quantitative data tables. Omics data processing involves multiple steps, and many algorithms, software, and workflows have been developed for these essential tasks.Optimal selection of tools, algorithms and parameters is critical to ensure reliable and accurate estimation of gene or protein quantification , by grant CPRIT [RR160027] from the Cancer Prevention & Research Institutes of Texas, by funding from the McNair Medical Institute at The Robert and Janice McNair Foundation. B.Z. is a CPRIT Scholar in Cancer Research and a McNair scholar.Conflict of Interest: none declared."}
+{"text": "Observational outcomes of recent studies indicate the notion of the gut microbiota's contribution to the host's physiological, immune, neurological, and metabolic health. In dysbiotic conditions, gut microbes could contribute to the development of a wide spectrum of diseases including metabolic syndrome, non-alcoholic fatty liver disease (NAFLD), irritable bowel syndrome (IBS), and inflammatory bowel disease (IBD) , 2. HoweIn this regard, the special issue of \u201cGut Microbiota and Gastrointestinal Disorders\u201d appeared highly topical, wherein the aim was to provide novel insights on the central role of the gut microbiota in gastrointestinal disorders and seek innovative therapeutic and predictive applications of selected microbial species.Hu et al. reviewed the genetic, immunological, and microbial risk factors for UC pathogenesis. They enumerated potential microbiome-based approaches to restore and preserve intestinal microbial homeostasis and subsequently resolve UC. In another review, Wang et al. focused on gastrointestinal microbial dysbiosis and its contribution to the development of NAFLD, ranging from steatosis to non-alcoholic steatohepatitis (NASH). In this study, the special association of periodontopathic bacteria, mainly Porphyromonas gingivalis, to the pathogenesis of NAFLD was highlighted through clinical and basic research.Considering the profound influence of the gut microbiota on the development and progression of ulcerative colitis (UC), Tavakoli et al. during the treatment procedure of IBD patients. Observational findings suggested a substantial decrease in microbial diversity of Crohn's disease (CD) patients compared to UC patients. This, in principle, leads to the interdependence of treatment strategy and microbial dynamic comparing CD and UC patients. Although most studies associating the gut microbiota with human health and disease have focused on the analysis of bacterial and archaeal components, the importance of the mycobiota, the microbiota's fungal portion, is now recognized. The analysis of the mucosa-associated mycobiota in CD patients by Olaisen et al. revealed the enrichment of Malassezia and the depletion of Saccharomyces, along with a higher proportion of Candida albicans and Malassezia restricta, compared to healthy controls. Notably, the mycobiota structural differences between the inflamed and proximal non-inflamed ileum within the same individual may contribute to CD pathogenesis. Moreover, the identification of intraindividual and interindividual differences in microbial composition can be utilized as predictive biomarkers. Tian et al. exhibited the abundance of Alistipes and Eubacterium and the impoverishment of Roseburia species in patients suffering from slow transit constipation. The enrichment of fatty acid biosynthesis, butanoate metabolism, and methane metabolism pathways along with microbial alteration might be potential biomarkers for slow transit constipation. Another predicting strategy was provided by Vincentis et al., evaluating the clinical improvement of patients receiving rifaximin therapy. Although inaccurate in predicting gut microbiota alterations, their electronic multi-sensorial systems constituted of e-tongue and e-nose, could effectively predict clinical improvement.The significance of microbial species in the progression and emission of gastrointestinal disorders has led to the evaluation of longitudinal bio-psychological dynamics by Nakajima et al. in C57BL/6 male mice. Nicotine administration prior to the induction of DSS-induced colitis elevated indole concentration in the distal colon and rectum while short-chain fatty acid (SCFA) values presented insignificant differences, compared to the control cohort. The high level of indole concentration, as well as the increased proportion of Clostridioides and Porphyromonas genera, were presented as the underpinning mechanism of DSS-induced colitis suppression following nicotine administration. Similarly, Zhou et al. reported the potential for a ginger extract to attenuate the susceptibility to DSS-induced colitis by preventing weight loss, colon shortening, inflammation, and intestinal barrier dysfunction. Ginger administration to mice models for 4 weeks following antibiotic exposure increased bacterial diversity and the relative abundance of Helicobacter species while decreasing the relative abundance of Peptococcaceae rc4-4.In the context of IBD research, a treatment strategy for dextran sodium sulfate (DSS)-induced colitis was evaluated by Ishikawa et al. for UC patients following triple-antibiotic therapy. This study protocol presented a double-blinded, randomized, placebo-controlled, parallel assignment trial that primarily should evaluate the Total Mayo Score at 8 weeks after the FMT procedure. Furthermore, the comparison of clinical features, microbial structure, and metabolic profile, as well as post-FMT 2-year follow-up constitute other endpoints of this study protocol.Another therapeutic approach for restoring the inherent microbial composition is fecal microbiota transplantation (FMT), which was proposed by Yang et al. assessed the efficacy and safety of FMT combined with biofeedback for mixed constipation. They reported insignificant differences in side effects, yet the combined therapy presented a substantial enrichment in the proportion of probiotic species namely Prevotella and Bifidobacterium. Considering FMT as a stopgap, yet effective and safe, microbiome-based therapeutic strategy for the remission of gut dysbiosis and gastrointestinal disorders, Savigamin et al. presented four primary steps for initiating FMT in developing countries including: 1. Finding a perfect stool donor; 2. Initiating a clinical trial; 3. Establishing a stool standard for use in other research trials; 4. Establishing a clinical center for the transplantation of fecal microbiota. They further discussed and provided insightful suggestions for the first two steps.In conclusion, the studies published in this Research Topic further shed light on the critical contribution of the gut microbiota in the pathogenesis of gastrointestinal disorders and its potential capacity in developing efficient biomarkers and therapeutic strategies. In this field of study, the knowledge gaps to be filled and the bottlenecks to be surpassed include deciphering the contribution of hundreds of as-yet-unknown metabolites and their related signaling pathways to the host's physiological and metabolic health and disease.AN-R wrote the first draft of the manuscript. AY, JO-R, TO, and Y-DW revised the manuscript. All authors read and approved the submitted version.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest.All claims expressed in this article are solely those of the authors and do not necessarily represent those of their affiliated organizations, or those of the publisher, the editors and the reviewers. Any product that may be evaluated in this article, or claim that may be made by its manufacturer, is not guaranteed or endorsed by the publisher."}
+{"text": "The COVID-19 pandemic has substantially affected global communities and health systems in both high- and low-income countries. Many nations have been experiencing very high population burdens that implies the importance of strengthening responses systems and mobilizing communities in pandemic preparedness and control. The shortage of resources in LMICs is well-documented prior to COVID-19 and it has been worsened with the surge of COVID-19. In many LMICs, testing capacity remains inadequate, the number of ICU beds is far less than required, access to drug treatments such as dexamethasone is limited, and the supply of therapeutic oxygen and ventilators is insufficient . ImportaZhang studied the experience of public health system construction in China's COVID-19 prevention and identified key lessons for other countries to confront unprecedented pandemic. The paper not only pointed out several advantages of China's public health system construction in response to COVID-19, such as adequate supply of health resources and improved affordability of health care, but also discussed China's deficiencies, including low utilization efficiency of health resources, unequal ability to pay for medical expenses, and late disclosure of virus information in the early stage of the outbreak of COVID-19. Given that Nepal is facing a flood of COVID-19 cases after the lockdown was lifted in July 2020, Rayamajhee et al. provided critical insights on response of the government, highlighting the need to increase testing, tracing, and isolation capacity, and to set up quality quarantine centers throughout the nation to address the rise in COVID-19 infection cases. As cases have continued to fluctuate over a year into the pandemic in Indonesia, Mahendradhata et al. reviewed the current capacity of the healthcare system to respond to COVID-19 and emphasized the need for the Indonesian Government to ramp up the country's healthcare capacity in order to absorb and accommodate the varying healthcare demands during the pandemic. Saha and Gulshan provided a systematic analysis of the overall patterns in terms of number of cases, number of deaths, and impacts of COVID-19 in Bangladesh. The authors also shed light on the underlying causes that resulted in a continuous outbreak while discussing possible measures, effectiveness of the preparedness, implementation gaps, and their consequences to gather vital information and prevent future pandemics. Abd El Ghaffar et al. investigated the situation in some of the COVID-19 screening hospitals in Egypt in terms of inpatient beds, ICU beds, and ventilator utilization rates. Results from this paper, which indicated a shortage of resources, would help policymakers make informed resource reallocation decisions in Egypt, or other developing countries, which suffered from a lack of resources and a weak health system prior to the pandemic. Coumare et al. discussed the challenges and experiences in preparation and responses to the ongoing COVID-19 pandemic at a tertiary teaching hospital situated at Puducherry, India. Tran et al. examined factors associated with the intention to participate in COVID-19 frontline prevention activities among Vietnamese nursing students. The finding suggested that socioeconomic characteristics of participants, their source of COVID-19 related knowledge, and their perception and attitude toward participating in COVID-19 frontline activities were associated with intention to participate. Given resource-scarce settings of most LMICs, these countries are challenged by their limited capacity for manufacturing test kits, limited budgets for equipment and reagents, and scant ability to make competitive bids for global supplies. Gyawali and Mohammad Al-Amin et al. advocated for recognition of the almost insurmountable obstacles that face the implementation of non-pharmaceutical interventions for COVID-19 management in Asian LMICs and called for a global commitment to the equitable distribution of therapeutants and vaccines. Although the World Bank is making available more than $160 billion funding to LMICs to purchase and distribute COVID-19 vaccines, tests and treatment and mitigate the health, economic, and social shocks, and philanthropic organizations such as the Global Alliance for Vaccines (GAVI) have received billions of dollars in donations, much more will be required for LMICs to combat COVID-19 and mitigate the expected economic downturn. In the long term, LMICs will need to develop their own capacity to manufacture and distribute vaccines, as well as strengthen primary health centers to manage the impact of the pandemic.The following studies summarized experience of LMICs in managing the surge of COVID-19 in terms of capacities and responsiveness of health systems and communities. Muhammad Nur Amir et al.. described the workforce mobilization from the National Institutes of Health (NIH) to the other public healthcare facilities within the Ministry of Health (MOH) in the early phases of the COVID-19 pandemic management in Malaysia. The paper demonstrated how this workforce mobilization team efficiently mobilize the healthcare workforce and fulfill requests received for human resource aid, resulting in reduced infected COVID-19 cases throughout the country. Nguyen D. N. et al. provided evidence for reforming the training programs to prepare medical students, a potential task force with the capability to support the stretched health sector, for COVID-19 responses in Vietnam. This study suggested that the training curriculum should include both theoretical approaches as well as other contextual approaches to achieve efficient epidemic control in specific regions. Le et al. illustrated the potential and feasibility of intersectoral collaboration in epidemic preparedness and response at grassroots levels in the threat of COVID-19 pandemic in Vietnam, which ensures sufficient resources for urgent cases and helps to inform a determined response framework.In addition to capacities and responsiveness of health systems and communities to respond to the pandemic, numerous studies have highlighted the importance of strategic planning and resource mobilization to maintain essential health services and maximize human resource capacity to address COVID-19 situation and its associated disruptions. Shewade et al. reported that the estimated COVID-19 deaths in India after adjusting for the coverage and quality of the routine death surveillance may be 5.5\u201311 times the reported COVID-19 deaths. Hence, this study further discussed the routine deaths surveillance in India, the rationale for adjusting the reported COVID-19 deaths for coverage of the routine death surveillance and its implications on the estimated infection fatality ratio (IFR) for India in order to make meaningful and reliable comparisons. Mansab et al. highlighted the disparity in oxygen provision for COVID-19 patients between 26 nations included in the study and suggested that there was an association with higher national mortality rates in those nations that pursued a conservative oxygen strategy. Abbasi-Kangevari et al. sought to determine the priorities of the Iranian public toward the fair allocation of ventilators during the COVID-19 pandemic. Participants stated that socioeconomic factors, except for age > 80, should not be involved in prioritizing mechanical ventilators at the time of resources scarcity. Front-line physicians and nurses of COVID-19 patients, pregnant mothers, mothers who had children under 2 years old had been given high priority.Given the speed and spread of transmission of COVID-19, assessing the effectiveness of epidemiological monitoring and surveillance of the epidemics is critical to control the expansion of the epidemics and avoid the collapse of health care systems. Vo et al. demonstrated how social distancing measure had been implemented in Vietnam and further discussed factors associated with the high compliance of Vietnamese with social distancing measures. Tam et al. discussed the evidence on the effectiveness, and rationale for community mass masking to prevent the COVID-19 transmission in Vietnam. Sun et al. showed that the proper management of inbound travelers from outbreak areas had a significantly positive effect on the prevention and control of the virus and suggested that effective measures taken by Yunnan province may provide an important reference for preventing the COVID-19 outbreak in other regions. As the prevalence of psychological stress among healthcare workers (HCWs) in Vietnam during the COVID-19 pandemic was high, Nguyen P. T. L. et al. sought to understand COVID-19-related, psychological stress risk factors among HCWs, their concerns and demands for mental health support during the pandemic period. The author recommended psychological interventions involving web-based consulting services to provide mental health support among HCWs. Nguyen A. N. et al. assessed the knowledge and practices regarding the prevention of the COVID-19 among the HCWs in Vietnam to identify the ways of disseminating information to maximize the safety of these essential workers. Findings from this study suggested that future education initiatives should centre initially on the COVID-19 virus aerosols with the primary focus on doctors, especially those in emergency and the intensive care departments. In addition to epidemiological and psychosocial interventions, Nguyen H. T. T. et al. described economic recovery solutions implemented by the Vietnam government to manage the fiscal deficit, such as focus on effectively implementing domestic stimulus, use the savings from falling international oil prices to curb the crisis, earn funding from the World Bank WB and the International Monetary Fund, etc.Many articles in this Topic focused on evaluating the effectiveness of epidemiological, psychosocial and economical interventions to prevent the importation, spreading and relieve the impact of COVID-19 pandemic in LMICs. Vietnam has achieved initial results in flattening the curve and slowing the spread of COVID-19 transmission in the community, which is attributable to a high-level adherence with social distancing measures, accompanied with contact tracing, mass testing, and mandatory isolation. Klement pointed out that journalism, politics, and medicine involved within the COVID-19 crisis have maintained a simple narrative and reductionist thinking and emphasized the need for systems thinking during the outbreak. A survey by Raza et al. was conducted to understand knowledge, attitudes, and practices related to COVID-19 among the students in Lahore, Pakistan. This survey showed that most of the students were well informed about COVID-19 and exhibited a proactive approach during the outbreak, suggesting an effective public health campaign of the local government to deliver public health knowledge in the community. Chatterjee et al. focused on highlighting some of the key aspects of digital healthcare during the times of COVID-19 pandemic in South America. This study shed light on the role of Artificial Intelligence and the Internet of Things role in resource optimization along their potential applications like clinical decision support systems and predictive risk modeling, especially in the direction of combating the emergent challenges due to the COVID-19 pandemic. Mat Dawi et al. examined the influence of e-government and social media on the public's attitude to adopt protective behavior and suggested that during the COVID-19 outbreak, public health decision makers may use e-government and social media platforms as effective tools to improve public engagement on protective behavior. Although Nguyen, Nguyen, Le, et al. demonstrated a high level of agreement among the general population toward the importance and necessity of national response measures to combat the COVID-19 epidemic in Vietnam, Nguyen, Nguyen, Nguyen, et al. expressed concern about the impact of fake news on the adherence of national response measures during the lockdown period in Vietnam. In response to fake news, the government had made early predictions and concrete strategies, such as passing a cybersecurity law or establishing official communication channels, which may also have important lessons for other nations in the fight against COVID-19.Several studies have raised important points regarding the impact of perceptions and attitudes toward the COVID-19 crisis on the improvement of both public health and individual well-being and highlighted how digital health care and social media may influence public's attitude during the COVID-19 outbreak. Specifically, Gyawali and Mohammad Al-Amin et al.; Mahendradhata et al.; Rayamajhee et al.; Tran et al.; Zhang). Ensuring sufficient healthcare workforce, training more health providers, and recruiting volunteers would help to increase vaccine availability, distribution, and monitoring. In addition to healthcare workforce capacity, vaccine acceptance and hesitancy remain a significant barrier to increase vaccination rate. Perceptions and attitudes play an important role on the improvement of both public health and individual well-being, which significantly influenced by Internet and social media . Thus, governments could establish awareness-building initiatives using community and mass media to manage inaccurate information about vaccines, lack of information, and lack of trust in the government and pharmaceutical companies. Lastly, governments should consider to increase budgets for COVID-19 vaccine purchase and delivery to scale up COVID-19 vaccination and offer access to all populations; however, this has not been discussed in the collection of papers in this topic.Besides efforts to mitigate pandemics in LMICs from medical staff training and monitoring to system modernization, it is also important to consider potential barriers that arise during the COVID-19 vaccine rollout in LMICs and how to address these difficulties in resource-scarce settings. Recent studies have reported several challenges for vaccination faced by LMICs, including vaccine hesitancy , inadequThe COVID-19 pandemic has challenged the healthcare capacity of many countries. The collection of papers in this topic provides insight on the opportunities and challenges in strengthening health system and community responses to confront COVID-19 pandemic in resource-scarce settings. Lessons learned in terms of strength and limitations from the latest evidence on health sectors and community responses to control the COVID-19 pandemic in LMICs would suggest implications to improve the effectiveness of current policies and facilitate development of new strategies to strengthen the capacity and efficiency of healthcare systems in the fight against COVID-19. Governments will continue to play an important role in responding to the coronavirus pandemic and providing access to care for communities in resource-constrained countries with limited human, infrastructural, and financial resources and that are behind the curve in the spread of the pandemic.All authors listed have made a substantial, direct, and intellectual contribution to the work and approved it for publication.Research was supported by the Vingroup Innovation Foundation (VINIF) in project code VINIF.2020.Covid-19.DA03. The article processing charge for journal is financed by NUS Department of Psychological Medicine (R-177-000-100-001/R-177-000-003-001/R177000702733) and NUS iHeathtech Other Operating Expenses (R-722-000-004-731).The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest.All claims expressed in this article are solely those of the authors and do not necessarily represent those of their affiliated organizations, or those of the publisher, the editors and the reviewers. Any product that may be evaluated in this article, or claim that may be made by its manufacturer, is not guaranteed or endorsed by the publisher."}
+{"text": "This study aimed to identify a set of newborn signal functions (NSFs) that can categorize health facilities and assist policymakers and health managers in appropriately planning and adequately monitoring the progress and performance of health facilities delivering newborn health care in Bangladesh and similar low-income settings.A modified Delphi method was used to identify a set of NSFs and a cross-sectional health facility assessment among the randomly selected facilities was conducted to test them in public health facilities in Bangladesh. In the modified Delphi approach, three main steps of listing, prioritizing, and testing were followed to identify the set of NSFs. Then, to finalize the set of NSFs and its variables, a total of five Delphi workshops and three rounds of Delphi surveys were conducted. Finally, 205 public health facilities located in 41 randomly selected districts were assessed for the availability and readiness of finalized NSFs using the updated tool of Bangladesh Health Facility Survey (BHFS) 2017.Twenty NSFs were identified and finalized, nine of which were categorized as primary NSFs, 13 as basic NSFs, 18 as comprehensive NSFs, and 20 as advanced NSFs. Almost all district hospitals (DHs), Upazila health complexes and maternal and child welfare centres (MCWCs) performed the primary NSFs in the last three months. However, around one-third of the union health and family welfare centres (UH&FWCs) and very few community clinics (CCs) performed them during the same period. The basic, comprehensive, and advanced NSF readiness was inadequate and inappropriate across all types of facilities, including DHs and UHCs.In the absence of internationally or nationally agreed-upon NSFs to measure a health facility's service availability and readiness for providing newborn care, this study becomes the first to identify and finalize a set of NSFs and to incorporate relevant variables in the health facility assessment tool which can be used to monitor the availability and readiness of a newborn care facility. The identified NSFs can also be adapted for the countries with similar contexts and can serve as a standard base to determine a global set of NSFs. In the last decade, commendable progress has been made in improving maternal and newborn health globally. During the Millennium Development Goals (MDG) era 1990-2015), the global neonatal mortality rate (NMR) declined from 36 19 deaths per 1000 live births; the decline in NMR 47%) has been much slower than that of the post-neonatal under-five mortality rate (58%) [990-2015,7% has beConsidering this high burden, the government of Bangladesh is highly committed to achieving the SDG targets of newborn mortality by 2030. In response to the global Every Newborn Action Plan (ENAP), it developed the Bangladesh Every Newborn Action Plan (BENAP) with specific strategies for averting newborn mortality and morbidity. Following up on these commitments, newborn health has been included as one of the priority activities in the fourth health sector program (2016-2022) of Bangladesh, while the operation plan has a separate programme called the National Newborn Health Programme and Integrated Management of Childhood Illness (NNHP&IMCI) for implementing the newborn health interventions targeting the major causes of newborn death in Bangladesh .Since most of these interventions involve specialized and facility-based treatment, a robust health infrastructure is needed to provide the necessary services ,7. ServiEmergency obstetric care (EmOC) signal functions have been used to assess the availability and quality of maternal care . The latA set of signal functions is crucial in planning policy and programs for correctly identifying health facilities that provide newborn services. Acknowledging the necessity and significance, NNHP & IMCI Program of the Directorate General of Health Services (DGHS) has designated the identification of newborn signal functions (NSFs) as a priority task for successful planning and scaling-up of newborn interventions in Bangladesh . This stThis cross-sectional study was carried out from October 2017 to February 2020. It adopted the Delphi method to seek expert consultation and built consensus for identifying the NSFs and their relevant variables as well as adapting the assessment tool. The Delphi method, mainly developed by Dalkey and Helmer at the Rand Corporation in the 1950s, is well adapted for building consensus due to its evident potential for revealing underlying assumptions and searching out new perspectives that can contribute to consensus among different respondents . The DelThree main steps of the Delphi process were followed, with each step being divided into two sub-steps, as illustrated in To identify the leading causes of neonatal mortality, relevant interventions, indicators, and possible functions (skills and resources needed to provide an intervention), a comprehensive desk review of the available literature (both written and unpublished) was undertaken. We develop a list of existing maternal, newborn, and child health strategies, action plans, monitoring frameworks, standard operating procedures (SOPs), and national and global guidelines on interventions/functions to avert major causes of newborn deaths. A group of International Centre for Diarrhoeal Disease Research, Bangladesh researchers systematically reviewed relevant five global and ten national documents from the list. Table S1 in the Besides desk review, a total of six key informant interviews (KIIs) were conducted with Ministry of Health & Family Welfare (MoHFW) program managers and newborn health experts from professional bodies such as Bangabandhu Sheikh Mujib Medical University (BSMMU) and Bangladesh Neonatal Forum (BNF) to identify additional interventions and functions needed to deliver newborn care in a health facility setting. The interviews helped to identify an additional 11 newborn interventions/functions that were added to the primary list of 79 newborn interventions/functions.The National Technical Working Committee for Newborn Health (NTWC-NBH) (established by MoHFW) formed a group of newborn expert panels with a specific Term of Reference (ToR). A total of 48 newborn experts, representing 22 organizations such as the MoHFW, professional bodies, United Nation (UN) agencies, and development partners engaged in newborn health, became part of the newborn expert panel tools: Averting Maternal Death and Disability (AMDD), Health Facility Census (HFC), Service Provision Assessment (SPA), Rapid Health Facility Assessment (R-HFA), Service Availability Mapping (SAM), and Service Availability and Readiness Assessment (SARA) . The 201The variables present in the 2017 BHFS tool (n\u2009=\u200945) and the variables present in the other HFA tools (n\u2009=\u200916) were automatically included in the final variable list. Variables identified from interviews with the newborn Delphi experts were validated before they were included in the final variable list. Project research physicians (PRPs) measured the variables\u2019 construct and content validity by field testing them in seven different public health facilities. The operational definition of these validity measures is described in the published protocol . ContentThe questionnaire adaptation for the 2017 BHFS tools took place in August 2019. A consultative meeting with the stakeholders especially from National Institute of Population Research and Training (NIPORT), visits to the service provision sites for pre-testing the tools, and a day-long questionnaire adaptation workshop elicited the feedback needed to adapt the questionnaires. Based on the feedback, the validated variables were incorporated into the BHFS 2017 tool, and finally, the tool was updated and finalized for the assessment of service availability and readiness of NSFs in Bangladesh. The updated 2017 BHFS had two types of data collection tools as facility Inventory questionnaire and the health care provider interview questionnaire.12 PRPs were recruited for the HFA who received five days of training on the updated BHFS 2017 tool in September 2019, in Dhaka.Four data collection teams were formed, with one data collector on each team assigned the role of a team leader. Data collection was conducted from November to December 2019. On average, data collection took two days for each health facility. And was conducted using paper-based Facility Inventory and Health Care Provider Interview questionnaires. The data collectors interviewed the most knowledgeable person about the facility and its services; if collected from other persons, the information was validated by direct physical observation and/or some facility record review.Two medical doctors monitored the overall data collection process and supervised the team. They conducted periodic visits to ensure the quality of data collection and provide onsite training.To assess the service availability and readiness of the public health facilities for the NSFs, a precision-based sample size was measured. With a 10% error margin, the study aimed to cover maximum variance (50%) as there is no estimate available. The required sample size was 101 public health care facilities, assuming a non-response rate of about 5%. We were able to conduct a cross-sectional facility assessment in 205 registered public health facilities across all eight divisions to provide the most representative results for Bangladesh tools .To analyse each Delphi survey outcome, central tendency (mean) and a measure of distribution (interquartile range (IQR)) were measured. Additionally, the average expert agreement (AEA) for every intervention/function was calculated from the ratio between the frequency of mode and the number of responses in each survey. As experts recommended, consensus and agreement were stable when the AEA value was 50 or more for any intervention/function. Kappa statistics with a >0.75 cut-off were used to report on the construct validity of the newly added variables in the HFA tool. The BHFS tabulation plan was followed to analyse the HFA data.Ethical approval was obtained from the Research Review and Ethical Review Committee (ERC) of icddr, b (PR-17089). Written and informed consent was sought from the health facilities and each participant before the assessment or interviews.Based on the pre-defined cut-off values and scoring guidelines recommended by the newborn Delphi experts, we identified 20 NSFs from the shortened list of 37 interventions/functions for Bangladesh. The summary of the average score for each intervention/function and the cut-off values to identify four categories of NSFs is presented in The AEA of the Delphi experts on newborns was checked based on each category of NSFs on the pre-defined cut-off values supplementation function. Almost all district hospitals (DHs), Upazila health complexes and maternal and child welfare centres (MCWCs) provided IFA supplementation in the last three months, while around one-third of union health and family welfare centres (UH&FWCs) and less than 10% of community clinics (CCs) provided IFA supplementation in the same period.One-fourth of the facilities did not perform hand washing each time before touching the baby. All DHs, MCWCs, and UHCs performed hand washing each time before touching the baby, whereas around half of the UH&FWCs and less than 10% of CCs performed hand washing each time before touching the baby.About 73% of the facilities performed immediate drying. Moreover, all DHs, MCWCs, and UHCs performed the immediate drying of the newborn, while around half of the UH&FWCs and less than 10% of CCs performed this function.About 73% of the facilities performed delayed umbilical cord clamping approximately one to three minutes after birth. All DHs, MCWCs, and UHCs performed delayed umbilical cord clamping approximately one to three minutes after birth, whereas the function was performed by around half of the UH&FWCs and less than 10% of CCs.About 72% of the facilities performed a clean cord-cutting function. Nearly all DHs, MCWCs, and UHCs performed clean cord-cutting. However, around half of the UH&FWCs and less than 10% of the CCs performed this function.About 73% of the facilities performed a single application of 7.1% chlorhexidine to the umbilical cord followed by dry cord care. All DHs, MCWCs, and UHCs performed the single application of 7.1% chlorhexidine to the umbilical cord followed by dry cord care, while only around half of the UH&FWC and less than 10% of the CCs performed this function.About 68% of the facilities performed neonatal resuscitation. All MCWCs, nearly all DHs, and about 93% of the UHCs performed this function.About 72% of the facilities performed early initiation of breastfeeding within one hour. All MCWCs and UHCs performed this function whereas 2% of DHs did not perform this function.About 73% of the facilities performed skin-to-skin care for two hours. While all DHs, MCWCs, and UHCs performed the clean cord-cutting (clean/sterile thread) function, only 53% of the UH&FWC and 10% of the CCs performed this function.Only 58% of all facilities performed tetanus toxoid function. The function was performed by over 80% of the DHs, MCWCs, and UHCs, but by less than one-third of the UH&FWCs.One-third of the total facilities performed suction of newborns. All DHs and nearly all UHCs and MCWCs performed this function, but less than 50% of the UH&FWCs performed it.Only 12% of the total facilities provided oral antibiotics for infections. Across facilities, the performance of this function was lower than 25%, and no CCs performed this function.Only 24% of the total facilities provided injectable antibiotics (intramuscular (IM)) for infections. Besides, none of the UH&FWCs and CCs performed this function.Only half of the total facilities provided antibiotics for premature rupture of the membrane (PROM). Nearly all the DHs provided antibiotics for PROM, while none of the UH&FWCs and CCs performed this function.About 60% of the total facilities provided oxygen therapy. However, only 78% of the DHs, 56% of the UHCs, and 39% of the MCWCs performed this function.Only 35% of the total facilities provided injectable antibiotics (intravenous (IV)) to the newborn. Besides only 78% of the DHs, 56% of the UHCs, and 39% of the MCWCs performed this function.Less than 30% of the total facilities provided phototherapy. Moreover, about 88% of the DHs and less than 10% of the UHCs and MCWCs performed this function.Only 28% of the total facilities provided kangaroo mother care (KMC) for pre-term and low birth weight (LBW) babies. Only 63% of the DHs, 39% of MCWCs, and less than one-third of the UHCs performed this function.Only 37% of the total facilities provided ACS for preterm birth. Only 78% of the DHs and around 50% of the MCWCs and UHCs performed this function.Only 10% of the total facilities performed incubator functions. Only half of the DHs and 2% of the UHCs performed this function, while none of the MCWCs performed this function.Overall, almost all the MCWCs, 90% of the UHCs, and 85% of the DHs performed all primary NSFs, while only 39% of the UH&FWCs and 5% of the CCs performed those in the previous three months of the assessment. Only 5% of DHs performed advanced NSFs.Using the adapted Delphi method, a clear, evidence-based, and low-cost technique combining scientific methods and expert opinion -19, thisIn identifying a set of valid and agreed-upon NSFs, this study followed all relevant steps of a Delphi study including defining consensus. A Delphi study must have a pre-defined meaning of consensus for their study, if not, the credibility of the outcomes will not be considered as valid . VariousThe utilization of RAND-modified Delphi in this study improved the validity and generalisability of the identified NSFs . The resThe identified valid NSFs can capture the service availability, readiness, and functionality of a range of relevant newborn interventions/functions at different facility levels, which can help identify the causes of the high burden in newborn mortality and the recent halt in the reduction in newborn morbidity. In this study, a total of 20 interventions were accepted and 17 were rejected, with a focus on impact, reliability, actionability, priority, and feasibility of data collection during the scoring and ranking process. A similar attempt undertaken in Zimbabwe identified 11 obstetric and newborn signal functions, three of which were for routine newborn care, six for basic emergency newborn care, and two functions for comprehensive emergency newborn care . To finaThese 20 identified NSFs can be captured as part of a health facility assessment survey or as a routine monitoring system by health managers at any health facility level. When reviewing existing HFA tools, we found that most NSFs are not collected through health facility surveys. The 2017 BHFS tool only measured the availability and readiness of one newborn indicator (newborn resuscitation) as part of Basic Emergency Obstetric Care (BEmOC) of public and private health facilities in Bangladesh, which was insufficient to accurately measure the health facility's availability and readiness to provide newborn care and to assess the status of identified NSFs. All these NSFs are not routinely collected or reported in the existing health information system. Having an agreed list of functions made it relatively easy to identify and finalize the list of variables required to measure the service availability and readiness of these functions at a health facility level. The results of the survey conducted by the updated HFA tool contributed to assessing the health facilities for the NSFs and will assist policymakers and health managers in planning and monitoring their performance and progress regarding newborn health services . The preThe HFA of this study revealed that the functionality of NSFs for neonatal infection management such as oral antibiotics, injectable antibiotics (IM), and injectable antibiotics (IV) was poor, especially in primary referral facilities. Infections such as sepsis, pneumonia, tetanus, and meningitis account for about 22% of overall newborn deaths worldwide and around one-quarter of newborn deaths in Bangladesh ,30. The This research study and its findings primarily aimed to influence national policy and programs. From the study\u2019s initiation, the NNHP & IMCI Program of the DGHS was co-leading the study activities with icddr,b . All theTen years have left to achieve the ambitious Sustainable Development Goals (SDGs) of ending preventable neonatal deaths, accelerated efforts are needed to improve access to and quality of care for all mothers and newborns -3. As moThis is the first study to identify widely agreed upon NSFs for Bangladesh by adopting the validated and widely used Delphi methodology to synthesize experts\u2019 knowledge and experiences. The MOHFW of Bangladesh, various associations, academics, and development partners have endorsed the identified NSFs. The existing health facility assessment tool has been updated to test the NSFs in public health facilities for further use. In the future, the updated health facility assessment tool will be used for the national health facility assessment in Bangladesh.This is a resource-intensive and long-time study. It took us longer than anticipated to ensure the participation of numerous Delphi experts during each workshop and survey. Some Delphi experts were unable to participate throughout the whole process.There are currently no internationally or nationally recognized signal functions that are widely accepted and can be used to measure a health facility's service availability and readiness to provide newborn care. We developed a widely agreed-upon set of NSFs that assisted in updating the national HFA tool. The findings of the survey helped to determine whether health facilities are adequately ready to provide newborn health care services. The results contributed to categorizing newborn care health facilities as primary, basic, comprehensive, and advanced. The identification of the NSFs will guide health managers and policymakers towards appropriate planning and adequately monitoring of the progress and performance of health facilities delivering newborn health care in Bangladesh."}
+{"text": "Legumes and cereals, which provide different nutrients, are cultivated as coupled crops in most centers of plant domestication worldwide. However, as the only legume domesticated in China, the spatio-temporal distribution of soybeans and its status in the millet- and rice-based agricultural system of the Neolithic and Bronze Ages remains elusive. Here, archaeobotanical evidence of soybeans (n=254), millet (n=462), rice (n=482), and zooarchaeological evidence of fish (n=138) were synthesized to elucidate the phenomenon of coupled or decoupled cereals and legumes in prehistoric China. During the Neolithic and Bronze Ages, soybeans was mostly confined to northern China and rarely found in southern China, serving as a companion to millet. In contrast, fish remains have been widely found in southern China, indicating a continuous reliance on fish as a staple food besides rice. Thus, an antipodal pattern of millet-soybeans and rice-fish agricultural systems may have been established in northern and southern China since the late Yangshao period respectively. These two agricultural systems were not only complementary in terms of diet, but they also exhibited positive interactions and feedback in the coculture system. Consequently, these two systems enabled the sustainable intensification of agriculture and served as the basis for the emergence of complex societies and early states in the Yellow and Yangtze Rivers. Zea mays) in Mesoamerica was accompanied by the common bean (Phaseolus vulgaris) (Triticum aestivum) and barley (Hordeum vulgare) in southwest Asia had a series of companion legumes, including lentil (Lens culinaris), pea (Pisum sativum), chickpea (Cicer arietinum), and broadbean (Vicia faba) (Oryza sativa subsp. indica) in south Asia was associated with the mungbean (Vigna radiata) (Glycine max) seem to be merely associated with broomcorn (Panicum miliaceum) and foxtail millets in northern China, while no companion legumes to rice (Oryza sativa subsp. japonica) have been discovered in southern China.Optimal foraging theory in anthropological studies suggests that energy constraints and nutrient requirements are vital to the origin and evolution of agriculture . As essulgaris) , wheat (ia faba) , and ricradiata) . HoweverGlycine soja) in far eastern Russia, China, Korea, and Japan, a variety of regions have been proposed as candidate sources , Early Yangshao period , Late Yangshao period , Longshan period , and Bronze Age . SubsequBased on the previous investigations on the distribution of millet, rice, and mixed farming sites , the milMylopharyngodon piceus), grass carp (Ctenopharyngodon idella), and crucian carp (Carassius carassius) . Besidesephalus) .In terms of meat acquisition strategies, fishes were clearly an important component of diets in the Yangtze River throughout the Neolithic Age, whereas they seemed to be less significant in the Yellow River . A detaiIn addition to fishes, shellfishes were also regarded as an important source of protein, which was mostly confined to the coastal regions, especially the Liaodong and Shandong peninsula to the northeast and Fujian and Liangguang region to the southeast with hundreds of shell middens existed during 7000\u20135000 cal BP . HoweverGiven that soybeans and fish served as an important source of protein for ancient humans in northern and southern China, antipodal patterns of a millet-soybean and rice-fish agricultural system may have formed in the Neolithic and Bronze Ages. During the Peiligang period , only wild soybeans was discovered along the marginal mountains of the Loess Plateau and Inner Mongolian Plateau , while fDuring the Longshan period and Bronze Age , the soybeans began to spread in four directions . HoweverIn summary, antipodal patterns of a millet-soybeans agricultural system in northern China and rice-fish agricultural system in southern China may have been established since the late Yangshao period , which sustained the nutritional requirement of both starch and protein. To a certain extent, the cultivation and domestication of soybeans in the Yellow River may compensate for the possible lack of protein due to the transition from hunting wild animals to the rearing of livestock. However, the relative abundance of diverse animals and fish species in the Yangtze River may promote ancient humans to continue fishing and hunting rather than reliance on soybeans domestication , and ultIn most centers of origin of agriculture in the world, legumes and cereals have been cultivated as coupled crops except for southern China. Soybeans, generally considered to be domesticated in the middle and lower Yellow River, was mostly confined to northern China and served as a companion to millets. In contrast, fish had been intensively exploited in southern China and rarely recovered from the Yellow River. Thus, since the late Yangshao period , an antipodal pattern of millet-soybeans and rice-fish agricultural systems may have been established in northern and southern China, respectively. On one hand, these two systems are dietary complementation of starch and protein, providing balanced requirements of energy and nutrient; on the other hand, the systems exhibit agronomic compensation that soybeans fix atmospheric nitrogen and improves the soil fertility while millet uses soil nitrogen up, and fish reduce rice pests and rice favors fish by moderating the water environment. Positive interactions in these two systems enabled sustainable intensification in agriculture and provide the basis for the emergence of complex societies and early states in the Yellow and Yangtze Rivers.The original contributions presented in the study are included in the article/HL designed the research. XY and KH assisted the analysis of archaeobotanical and zooarchaeological data. XY and CS contributed to the discussion sections. KH compiled the figures. KH and HL wrote the manuscript. All authors contributed to the article and approved the submitted version.This research was supported by the National Natural Science Foundation of China , and China Postdoctoral Science Foundation (Nos. 2020M670444).www.editage.cn) for English language editing.We sincerely thank Xue Yan, Xiaoqu Zheng, Yuqian Wang and YM for their assistance with data collection. We would like to thank Editage (The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest.The handling editor YG declared a shared affiliation with the authors KH, XY, HL at the time of review.All claims expressed in this article are solely those of the authors and do not necessarily represent those of their affiliated organizations, or those of the publisher, the editors and the reviewers. Any product that may be evaluated in this article, or claim that may be made by its manufacturer, is not guaranteed or endorsed by the publisher."}
+{"text": "Background: As the world prepared for and responded to the COVID-19 pandemic in early 2020, a rapid increase in demand for personal protective equipment (PPE) led to severe shortages worldwide. Acquisition of PPE in the general market was an integral part of pandemic response, along with the safeguarding of hospital supplies. We seek to quantify the difference in cost per unit (CPU) of PPE during the first wave of COVID-19 compared to prepandemic prices. Methods: We performed a retrospective review of market prices for PPE during the first surge of the pandemic in Chicago. Cost of PPE was tabulated and compared with prepandemic prices. The maximum cost per unit (CPU) of PPE was tabulated for each week, and the average cost throughout the pandemic was calculated. Disposable gowns, washable gowns, N95 respirators, face masks, and gloves were included in our analysis. Results: PPE prices were significantly higher during the pandemic compared to prepandemic prices (Figure Conclusions: Market prices for PPE were significantly elevated during the first weeks of the pandemic and remained high throughout the first wave of COVID-19. Multiple factors likely contributed to high prices, including demand shock, disrupted supply chains, and a rush to acquisition by healthcare systems and the general population alike. The impact of COVID-19 on prices highlights the importance of supply chains and national stockpiles for pandemic preparedness.Funding: NoDisclosures: None"}
+{"text": "This article presents a brief history of public policies to address sexually transmitted infections (STI) in Brazil. It also discusses deficiencies and challenges to be considered by the country to formulate and implement future policies.STI remains a global public health issue. In 2016, the World Health Organization (WHO) estimated a 376.4 million incidence of curable STI in people aged 15 to 49. There were 127.2 million cases of chlamydia, 86.9 million cases of gonorrhea, and 6.3 million cases of syphilis. In the Region of the Americas, an estimated 29.8 million cases of chlamydia, 13.8 million cases of gonorrhea, and 2 million cases of syphilis were reportedThese estimates indicate a high STI incidence and warrant the WHO global strategy and the establishment of priority measures to achieve STI elimination goals by 2030. This strategy focuses on (i) gonococcal antimicrobial resistance and chlamydial co-infection risk, (ii) congenital syphilis elimination, which requires increased testing and treatment of pregnant women and specific populations, and (iii) human papillomavirus (HPV) infection, with a focus on immunization to eliminate cervical cancer and anogenital wartsThe Pan American Health Organization's (PAHO) Plan of Action for the Prevention and Control of HIV/STI (2016-2021) aims at expediting the elimination of the human immunodeficiency virus (HIV) and STI epidemics as public health issues in the Region of the Americas by 2030In Brazil, acquired syphilis, syphilis in pregnant women, and congenital syphilis cases are compulsorily notifiableBrazilian nationwide-covering STI prevalence studies reveal the scale of the problem. Parturients attended in public maternity hospitals had a 9.8% prevalence of chlamydia and 1.0% of gonorrhea in 2011The publishing of the first Clinical Protocol and Therapeutic Guidelines (PCDT) for Comprehensive Care for People with STI, approved by the National Committee for the Incorporation of Technologies in the Brazilian National Health System (Conitec), in 2015, is noteworthyIn the period 2015-2016, the Ministry of Health's partnership with the Federal University of Santa Catarina and sentinel sites for the elaboration of a gonococcal resistance study (SenGono Project) made possible the first Brazilian gonococcal antimicrobial susceptibility surveillance program. The nationwide surveillance research analyzed gonococcal strains at seven sentinel sites and found high tetracycline, penicillin, and ciprofloxacin resistance in the bacteriaNeisseria gonorrhoeae, Chlamydia trachomatis, Mycoplasma genitalium, and Trichomonas vaginalis, in urethral discharge samples; and herpes simplex virus types 1 and 2, Treponema pallidum and Haemophilus ducreyi, in genital ulcer samples.In 2018, a new phase of the SenGono Project started with installing more collection sites and the inclusion of two new antimicrobials (spectinomycin and gentamicin) in the analyses. Within the SenGono Project, the following are undergoing research: The SenGono Project results led to the publication, on June 17, 2020, of Ordinance GM/MS no. 1.553/2020, by which the Ministry of Health instituted the sentinel surveillance of male urethral discharge syndrome to monitor data in qualified health unitsConsidering the global and national penicillin supply shortage and the difficulties for its acquisition by states and municipalities in the period 2014-2016, the publication of the 'Strategic Actions Agenda for Syphilis Reduction in Brazil' in 2016Following the HPV vaccination inclusion in SUS, the need for monitoring the impact of such immunization on the specific population was perceived. Research on HPV prevalence in Brazil was scarce until thenNeisseria gonorrhoeae to several antibiotics threatens the efforts for controlling this infection. 66% of the 67 countries participating in the Gonococcal Antimicrobial Surveillance Programme have already shown increased clinical and in vitro resistance to broad-spectrum cephalosporins in 2009-2014, and it is the only remaining first-line monotherapy for gonorrhea controlThe fast antimicrobial resistance growth of Treponema pallidumSome challenging goals in syphilis control include eliminating vertical transmission, improving case surveillance, developing more accurate tests to diagnose active syphilis, neurosyphilis, and congenital syphilis, increasing access for the most vulnerable populations, and developing alternative oral drugs and vaccines against ,,Lack of knowledge and fake news on immunization are examples of contributing factors to low vaccination coverage for HPV. Health care integration with schools and communities is central to achieve better indicators since well-informed adolescents are potential communicators of such information to their parentsChallenges and deficiencies persist in the formulation and implementation of public policies in IST in Brazil. In such a scenario, there is a permanent need for (i) strengthening the role of primary health care in comprehensive care to people with STI and their sex partners, (ii) ensuring adequate vaccination coverage against HPV and viral hepatitis A and B, (iii) promoting health information, education, and communication, (iv) expand access to STI testing and treatment, with emphasis on the most vulnerable populations, (v) notify sex partners, and (vi) qualify health professionals' approach to sexual health matters, in addition to screening for asymptomatic, prevention, clinical-laboratory management, and surveillance of sexually transmitted infection cases."}
+{"text": "Food microbiology studies the microbiota of food products. It is a very diverse area within the field of microbiology because it deals with microorganisms that may have both beneficial and deleterious effects on food quality and safety, comprising fermentative, probiotic, spoilage, and pathogenic bacteria, moulds, yeasts, and other microorganisms.The survival and growth of these diverse microorganisms is very much influenced by a wide range of environmental factors, which include the hugely diverse composition of the different food matrices.Among the submitted manuscripts that pretty much covered all aspects of food microbiology, eight research articles were selected by external experts to enter this annual special issue of BioMed Research International.Micromeria fruticosa serpyllifolia plants, growing in different regions of Palestine, screening for their antioxidant and antimicrobial activities.Salameh et al. did a comparative study on the volatile oils of Gebru and Sbhatu studied a collection of probiotic lactic acid bacteria (LAB) isolated from Korean Kimchi and Ethiopian spontaneously fermented Teff and evaluated the effect of LAB on the phenolic content of Teff during fermentation.Cordyceps kyushuensis, a parasitic fungus, for their immunomodulatory and antioxidant actions and concluded that these could be considered potential candidates for functional foods and therapeutic agents.The work by Su and coworkers evaluated the water-soluble polysaccharides of Staphylococcus aureus and Acinetobacter baumannii.Hassan and colleagues studied the probiotic properties of lactobacilli isolated from traditional Pakistani yoghurt and evaluated the antimicrobial activity of their bacteriocins against foodborne pathogens, such as Staphylococcus aureus and Escherichia coli resistant isolates, highlighting the public health consequences associated with the consumption of these unhygienic food products.Jaja et al. reported a high-level contamination of meat with Salmonella enterica.The article by Tenea described the role of peptide extracts from native LAB as promising food antimicrobials against Bacillus megaterium-coated diets on the growth, digestive enzyme activity, and gut microbial diversity of Songpu mirror carp.Finally, Luo and colleagues described the beneficial effect of The authors come from nine different countries, one European (United Kingdom) and eight non-European, namely, Ethiopia, Pakistan, Saudi Arabia, South Africa, Nigeria, China, State of Palestine, and Equator.BioMed Research International find this Food Microbiology 2020 special issue of relevance to their research field.We are happy to launch this special issue, which includes eight manuscripts that reported new findings mainly on the antimicrobial and antioxidant activities of food microbiota or their secondary metabolites. We hope that the readers of"}
+{"text": "The global aging of the population, combined with shifts in the structure and composition of families, has led to increased attention to the role of family and social relationships in the aging experience. The importance of family in determining healthy aging, however, may largely depend on the social, political, and economic context in which individuals are embedded. Cross-national investigations offer a unique opportunity to understand how family relationships and family caregiving influence health and well-being among older adults by comparing family dynamics across different sociocultural contexts. The HRS-family of surveys, which have been harmonized within the Gateway to Global Aging, provides remarkable opportunities for cross-national comparative analysis. The papers in this session use harmonized data from the Gateway to compare the influence of family on health across different social dimensions in multiple countries from around the world, including examinations of: 1) the impact of grandparenting on health of older adults in Europe and China; 2) psychological well-being among European older adults whose partners receive formal care; 3) the influence of parent-child relationships on health and well-being of older adults in China and the U.S.; and 4) how loneliness among older adults is patterned according to their living arrangements and relationship quality. The discussion will highlight the promises and challenges of cross-national research on families and aging and how harmonized aging data facilitates international comparisons."}
+{"text": "This systematic review aimed to analyse the performance of the Integrated Disease Surveillance and Response (IDSR) strategy in Sub-Saharan Africa (SSA) and how its implementation has embraced advancement in information technology, big data analytics techniques and wealth of data sources.HINARI, PubMed, and advanced Google Scholar databases were searched for eligible articles. The review followed the Preferred Reporting Items for Systematic Reviews and Meta-Analysis Protocols.A total of 1,809 articles were identified and screened at two stages. Forty-five studies met the inclusion criteria, of which 35 were country-specific, seven covered the SSA region, and three covered 3\u20134 countries. Twenty-six studies assessed the IDSR core functions, 43 the support functions, while 24 addressed both functions. Most of the studies involved Tanzania (9), Ghana (6) and Uganda (5). The routine Health Management Information System (HMIS), which collects data from health care facilities, has remained the primary source of IDSR data. However, the system is characterised by inadequate data completeness, timeliness, quality, analysis and utilisation, and lack of integration of data from other sources. Under-use of advanced and big data analytical technologies in performing disease surveillance and relating multiple indicators minimises the optimisation of clinical and practice evidence-based decision-making.This review indicates that most countries in SSA rely mainly on traditional indicator-based disease surveillance utilising data from healthcare facilities with limited use of data from other sources. It is high time that SSA countries consider and adopt multi-sectoral, multi-disease and multi-indicator platforms that integrate other sources of health information to provide support to effective detection and prompt response to public health threats. Despite scientific development to strengthen the health system to protect and promote human health, Sub-Saharan Africa (SSA) continues to be confronted by longstanding, emerging, and remerging infectious disease threats , 2. The Before 1998, most countries in Africa implemented surveillance systems through vertical programmes of specific diseases of national and /or international priority. These included malaria, HIV/AIDS, tuberculosis and vaccine-preventable diseases. Epidemiological data were collected mainly at the health care facility level and in outreach health service settings . This siIDSR functions are categorised into core and support functions. The core functions include identification of cases, investigation and confirmation, registration, case notification/reporting, data analysis and interpretation, response to the situation, communication and provision of two-way feedback, evaluation of the interventions, and preparation for emergency occurrences. The support functions include guidelines, laboratory capacity, supervision, training, resources and coordination at all health system levels . The IDSDuring the past 20\u00a0years, the IDSR framework has been used in 94% (44/47) of the countries in the WHO African region to enhance capacity for surveillance for priority diseases, conditions, and events \u201316. In mOver the years, the IDSR has relied heavily on the routine health management information system (HMIS) implemented at the facility and district levels of the health systems . HoweverThis review was guided by the following overarching question: Does IDSR generate information that drives early detection of and response to infectious disease outbreaks? Specific questions were: (i) Has IDSR improved health data quality and utilisation during its 20\u00a0years of implementation in SSA?; (ii) What are the challenges and opportunities for IDSR to improve early detection and prompt response to infectious diseases in SSA? The review followed the Preferred Reporting Items for Systematic Reviews and Meta-Analysis Protocols 2015 checklist . Three dThe review involved two-stage screening, title/abstract screening and full-paper screening. The inclusion criteria were: the study must involve at least one of the SSA countries, clearly describe the evaluation of the IDSR system, focuses on at least one of the IDSR functions and/or systems attributes. The review excluded studies with abstracts without full text, not in English, reviews and newsletters. Two of the authors (IRM and LEGM) extracted eligible articles independently, and any disagreements between them on inclusion or exclusion were resolved by discussion and consensus. The linked descriptive search requests that were developed and search results from each database are presented in Table A total of 1,809 articles were initially identified using the key search descriptors. A large number of articles were irrelevant or duplicate and were excluded. The 498 remaining abstracts were screened further, and 412 were excluded based on the inclusion/exclusion criteria. Of the remaining 86, full-text articles were screened, and 45 studies met the inclusion criteria and hence, were selected for detailed reviews disease control programmes; implementation of standard surveillance, laboratory and response guidelines; improved timeliness and completeness of surveillance data, as well as increased national-level review and use of surveillance data for the response , 15. HowImprovements in IDSR system attributes such as completeness and timeliness of data reporting have been observed in Uganda, Malawi and Ghana , 49, 51.Studies in Ghana, Tanzania, and Zambia have reported that several health facilities lack copies of the IDSR Technical Guidelines for Standard Case definitions; and that laboratories are ill-equipped to provide confirmation of any suspected priority notifiable infectious disease , 25, 60.In terms of IDSR support functions, of the 47 countries in the WHO Africa Region, 94% were implementing the IDSR strategy, and 45 (85%) have initiated training at the sub-national level . Thirty-This review indicates that in most countries, data generated through the routine HMIS, which is the key source of IDSR, are rarely assessed for their quality, analysed and used to support decision-making . SeveralIn Ethiopia, Liberia and Tanzania, assessments of the HMIS have identified some data quality issues and lack of use of the generated data , 60, 75.A few countries have reported analysing and used routine HMIS data at sub-national levels , 74. In For the integrated system to be efficient, it requires strong coordination and communication, a clear organisation structure, adequate resources , 81, andIn SSA, several government ministries, agencies, and academic and research institutions are involved in managing different aspects of the health information systems. The ministries of health run the routine HMIS as the major source of information for decision making and planning. National Statistical Offices are responsible for most of the nation-wide household demographic and health surveys as well as population census . Other kA warning of an impending epidemic can help relevant authorities and communities to prepare and take immediate actions to reduce morbidities and mortalities. Many of the epidemic diseases are highly sensitive to long-term changes in climate and short-term fluctuations in weather. Meteorological data are made available daily by the National Meteorological Agencies, yet they are rarely used to monitor the occurrence of diseases. Meteorological data can be combined with geospatially referenced data, population densities or road networks to generate estimates of environmental indicators relevant to infectious diseases . HoweverIt is critical for a good and efficient surveillance system to incorporate other sources such as mortality data from demographic surveys, environmental data, vital statistics and civil registration, antimicrobial resistance, systematic surveys, meteorological data and research data. In most countries, despite an enormous amount of data generated by these systems, they run in parallel and independently, not well-coordinated, and sharing of information between them is minimal. Each of the existing systems operates its data collection and utilization framework. Moreover, much of the information is generated outside the health sectors \u2013 making it not readily available for disease surveillance purposes. It is a fact that the innovations, including the use of big data and artificial intelligence, could transform infectious disease surveillance and response and complement the existing traditional disease surveillance systems and improve detection and response to epidemics .Laboratories play an important role in the prompt diagnosis of infectious diseases. The findings of this review have shown that IDSR is challenged by inadequate diagnostic capacities at all levels of the health system, especially in terms of staff levels, skill sets and infrastructure. It is critical, therefore, that countries support the efforts to strengthen laboratory capacities for the detection of a wide range of pathogens in relation to the IDSR priority diseases. Moreover, laboratory networking should be encouraged and should involve both national, regional and research reference laboratories. To address the gaps in knowledge, it is important to strengthen the laboratory management information systems (LIMS), recruit adequate staff who are well trained and motivated as well as the need for periodic support supervision of the surveillance activities. The plan by the African Centres for Disease Control and Prevention to establish and operationalize a Regional Integrated Surveillance and Laboratory Network is commended. This network is expected to coordinate and connect the continent\u2019s analytical, surveillance, and emergency-response assets .An effective epidemic intelligence should contain both indicator-based and event-based surveillance. Globally, with the use of information technologies, an event-based surveillance approach is being promoted to complement the traditional \u201cindicator-based\u201d surveillance approach as part of the components of epidemic intelligence . There hThere is growing interest in using digital surveillance approaches to improve monitoring and control of infectious disease outbreaks . HoweverWith the proliferation of information technologies and increased ownership of mobile phones in SSA, there are large amounts of data on social media blogs, chatrooms, and local news reports that may provide governments and other stakeholders\u2019 clues about disease outbreaks time and place daily. Such data are essential raw materials for DDS. Advancements in information technology and information sharing give rise to infodemiology \u2013 defined as the science of distribution and determinants of information in an electronic medium, specifically the internet . To dateCommunity-based surveillance (CBS) is defined as the systematic detection and reporting of events of public health significance within a community by community members . CommuniThe WHO Technical Guidelines on IDSR , 17 highAs part of an effective global response to diseases transmitted between animals and humans , there hIn 2019, the Tripartite organisations \u2013 the Food and Agriculture Organization of the United Nations, the World Organisation for Animal Health, and the World Health Organization \u2013 developed the Tripartite Zoonoses Guide (TZG). The aim is to help the countries develop a capacity to address zoonoses in a coordinated manner, linking to existing international policies and frameworks and supporting efforts for global health security. The TZG includes three operational tools to support national authorities: (i) the Multi-sectoral Coordination Mechanism, (ii) the Joint Risk Assessment, and (iii) the Surveillance and Information Sharing operation tools .The emerging and re-emerging infectious diseases in Africa underline the urgent need to integrate public health surveillance systems . As infeThe importance of using both formal and informal data sources for timely and accurate infectious disease outbreak surveillance has been emphasized . EvidencModern technologies such as artificial intelligence and machine learning are widely applied in analysing a significant volume of data to assess the status and forecast future dynamics of diseases , 124. A This review indicates that most countries in SSA rely mainly on traditional indicator-based disease surveillance utilising data from healthcare facilities with limited use of data from other sources. However, the traditional indicator-based disease surveillance approaches face several challenges, including data quality and inefficient early warning systems, because they are less sensitive than event-based surveillance approaches. They most often miss information from populations who do not access health care or do so through informal channels, thus unable to detect new, potentially high-impact disease outbreaks. Moreover, there is a dearth of information on IDSR data quality, analyses that utilise advanced methodologies and use in the detection and response of infectious disease outbreaks in the region. Over the years, data-use and data-process have not been given adequate attention. This analysis indicates that future efforts to address disease surveillance systems should consider data quality, multi-source data analysis and triangulation, data use and data integration. Capacity building for health workers at the national and sub-national levels in data management is critical.This review highlights the untapped opportunities for integrating community-based, digital surveillance through a one health approach that could improve public health surveillance in SSA. It is high time that the region explores and adopts the integration of several surveillance programmes into hybrid systems that combine traditional surveillance data with data from the public health laboratories, community, research settings, search queries, social media posts, and crowdsourcing. Improved performance requires the merging of current gains, strong collaboration from all stakeholders, supervision and regular evaluation of the surveillance system to identify and address challenges as they emerge. The introduction of innovative ways to further strengthen the surveillance and response system in SSA countries is critical to enhancing early detection and reporting of suspected cases of priority diseases, conditions and events.To address the challenges of the IDSR system, there is a need to develop an electronic platform that will combine data from multiple relevant databases such as HMIS, research programmes, laboratory management information systems (LMIS), population-based surveys, digital disease surveillance, sentinel surveillance, OH surveillance and community-based surveillance initiatives to allow their interoperability. The aim is to make optimal use of community, facility and research-based epidemiological information in preparing the community to act before a health emergency happens, as well as to provide high-quality evidence to guide policy development and resource allocation at the national level. With this platform, a continuing analysis and review of scientific publications, social media, routine health data and demographic statistics can be established to feed different decision-making units. Composite and multi-sourced indicators that comprise information from various sources can be generated, analysed and monitored. The goal is to make data readily available and help speed up dissecting the information and putting programmes in place to detect and promptly respond to epidemics. The platform will foster improved utilisation of surveillance data for action and avoid delays in response to emergencies by linking health indicators with other information such as climate data that can add value to inform health risks accurately. A multi-sectoral approach should be used to pursue a common strategic goal of developing a workforce that can support public health surveillance and response."}
+{"text": "The COVID-19 pandemic and global lockdown have had drastic socioeconomic and psychological effects on countries and people, respectively. There has been limited access to health care and education. These negative consequences have had a significant impact on the well-being of children and adolescents. Therefore, the EAP and the ECPCP are requesting state, health, and education authorities as well as European pediatric societies and the healthcare professionals that special attention be given to this population and the problems they face as a result of the pandemic. The COVID-19 pandemic has caused unprecedented changes in people's way of life and social relationships. Global public health measures, including a worldwide lockdown, have affected socioeconomics, health care, education, and public mental health . This haTo highlight this issue, provide guidance, and offer strategies for the prevention or minimization of the detrimental effects of the pandemic and associated lockdown on young people, the European Academy of Paediatrics (EAP) and the European Confederation of Primary Care Paediatricians (ECPCP) present this position paper and recommendations directed to state, health authorities, European pediatric societies, and the European healthcare professionals involved in the care of the pediatric population. This statement does not focus on the care of children and adolescents with COVID-19 disease.The course of SARS-CoV-2 infection is rarely severe in children and adolescents \u201310. HoweThe lockdown has also affected the availability of well-child care and the administration of childhood inoculations for vaccine-preventable diseases. Many children, especially those from lower-income households, have not received scheduled routine vaccinations and the overall immunization rate has dropped significantly \u201327. ThisLimited access to mental health services for children and adolescents has resulted in the intensification of preexisting problems and an increase in the prevalence of depression and anxiety disorders \u201330.The new situation has led to weakened communication, deprivation of personal peer relations, lack of physical activity, and reduced sensory stimulation. The consequences of this can include psychological deterioration, anxiety, frustration, stress disorder, adjustment disorders, grief, loss of appetite, and sleep problems , 31, 32.Social distancing and limited interpersonal contact can lead to development delays, impaired social skills, anxiety, and depressive symptoms . The lenThe transference of social activity exclusively to the Internet can result in digital technology overuse, abandonment of other activities, exposure to inappropriate content, and cyberbullying , 47.The prolonged school closures are likely to have detrimental effects on learning outcomes \u201350. In yThe lockdown exacerbates socioeconomic inequalities. In the context of education, this can mean that children from poorer families are likely to have inadequate access to appropriate IT tools, insufficient intellectual support from caregivers, and fewer educational opportunities beyond school. As they do not receive meals at school during the lockdown, these children are also at increased risk of malnutrition , 52. MorFor teachers, the pandemic has been a challenge related to the crisis of competence. Educators have had to develop and improve objective methods of assessing learning progress. Remote education has also weakened teacher-student relationships , 53.The EAP and the ECPCP strongly believe that action is necessary to reduce the negative effects of the pandemic on young people. The following measures are advised:For state, health, and education authorities- Establish a framework on how to mitigate the impact of COVID-19 on children and adolescents needing essential services in a variety of healthcare settings.- Consider strategies to reduce preventable illness during the COVID-19 pandemic in young people with non-COVID-19 diseases and injuries.- Guarantee the staffing, adequate drug, and material supply, especially for personal protective equipment for essential pediatric services.- Implement secure and flexible reopening and maintenance of kindergartens and schools based on the rights of children and adolescents.For European pediatric societies:- Keep members updated in the area of risks for child and adolescent health during the COVID-19 pandemic.- Encourage members to make all possible efforts to maintain curative and preventive high-quality services for children and adolescents.- Initiate and coordinate European-wide surveys regarding the temporary impact of the COVID-19 pandemic on pediatric health services.- Analyze the experiences with telemedicine in the area of pediatric care, screening, follow-up, and drug prescribing.- Support the EAP campaign \u201cVaccinate your child,\u201d to restore routine immunization of children .For the providers in the primary, secondary, and specialized pediatric care- Increase vigilance and diligence about the risks of non-personal appointments when conducting remote health assessments of children and adolescents.- Encourage face-to-face visits when presenting symptoms require them to rule out life-threatening diseases. Provide postnatal care in person wherever possible.- Ensure hygienic measures and personal protection for all staff and patients. Make appropriate adjustments and appointments to avoid crowding in outpatient services. Limit the quantity of accompanying persons.- Communicate personally and in public with caregivers to reassure the trust in essential health services and the unlikely danger of COVID-19 infection in the health care system. Clarify any public misinformation.- Reinforce the capacity of parents and adolescents for self-management and timely presentation in case of alarming signs and symptoms.- Make every effort to maintain essential pediatric health services by facilitating open access to curative services for the acute and the chronic ill children and adolescents.- Maintain preventive health services as well as child checks and vaccinations. Use recall and other motivational reminder systems to catch-up with missed visits.- Increase surveillance and screening for emotional, social, and behavioral disorders and provide age-appropriate guidance at any given opportunity.- Engage to maintain mental health services and social services in the community, with special focus on lower-income households.- Encourage adolescents to discuss non-pharmacological COVID-19 interventions such as social distancing, hygiene, and the use of face coverings. This will enable them to identify and minimize behavioral infection risks, which may be detrimental even in areas with high vaccination rates.The original contributions presented in the study are included in the article/supplementary material, further inquiries can be directed to the corresponding author/s.\u0141D, AM, and AH: study design. \u0141D, IR-W, and GH: data collection. \u0141D, IR-W, GH, ZG, AM, ST, SB, AC, and AH: data analysis and interpretation, manuscript preparation, and critical revision. All authors read and approved the final manuscript.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Dear EditorWe had a case of Krukenberg tumor (KT) of the right ovary, which extended to pelvic zone M;18*13*10 cm in a 40-year-old virgin woman who had no history of previous cancer. The patient received five courses of chemotherapy before surgery, and because of the chemotherapeutic effect on the ovarian stroma, spindle cells of stroma were plump, hyperchromatic, with mild pleomorphism. The number of signet cells was low, and they were scattered between spindle cells, mostly with eosinophilic cytoplasm. Spindle cell tumors such as pelvic rhabdomyosarcoma (with scattered eosinophilic rhabdoid cells) also gastrointestinal stromal tumor (GIST) with signet ring-like change were in the differential diagnosis in frozen section examination and permanent sections. Because of the increasing use of preoperative chemotherapy in the management of ovarian malignancy, pathologists should be aware of changes in cellular morphology induced by chemotherapy, which may cause problems in tumor typing and grading and the identification of ovarian epithelial tumors or metastatic tumors to the ovary such as breast and lung cancers .Effects of chemotherapeutic drugs on the cellular stroma of the ovary were seen in the literature previously, which can cause apoptotic depletion of follicles . ChemothAge of women at menopause show duration of estrogen deficiency which can cause health problems . The tumThen, correct interpretation requires exact evaluation of the morphology of tumoral cells and stromal cells, patient history, and confirmation of diagnosis with immunohistochemistry such as anti-cytokeratin and anti-histiocytic antibodies."}
+{"text": "This study systematically reviewed processes and educational programs for self-management of health and diseases that are the subject of public health attention. This systematic review of the literature (SRL) is relevant to recognizing the characteristics of the educational processes in self-managing chronic diseases in contexts where technology did not play a significant role. Following the PRISMA protocol, the authors independently reviewed full-text articles from several databases using the following criteria: (1) intervention studies evaluating the effects of self-management health programs; (2) educational process of disease self-management; (3) studies that included at least one control group, and (4) peer-reviewed studies. In addition, the Scottish Intercollegiate Guideline Network measurement tool was used to assess the risk of bias in each trial. In the final sample, 38 articles were included. The findings regarding health education methods of self-care, using community-based care and technological tools, are considered fundamental. Among the conclusions, the relevance of the pedagogy that health education processes demand improvement in post-pandemic program effectiveness stands out. Educational processes in public health seek to ensure the populations\u2019 right to health by promoting improved living conditions, welfare, and development . Public Health education interventions have traditionally focused on prescriptions and lifestyle restrictions . This apTherefore, educational actions developed in public health contexts and reported by research mainly focus on disease self-management and the appropriation of self-care skills . MedicalAccess to medical and health education programs include mechanisms to counteract their low participation rates. According to health institutions and research worldwide, low community participation is mainly related to socioeconomic conditions, transition effects over time, and a low level of health experts in educational training . AdditioThe importance of working on the aspects that affect people\u2019s willingness to participate in educational programs and daily, personal, collective activities to control and treat disease is evident. In this regard, improving self-regulation and self-management requires immediate feedback to modify behavior . Thus, tLikewise, health education programs have various innovative educational strategies that focus on the subject and his/her context to facilitate the formative effectiveness of the programs . EducatiOther health education initiatives have reflected on the role of health education professionals to ensure that there are no gaps in access to educational programs . FurtherEducational approaches involving technological tools in training processes in healthcare are in an exploratory phase, given the possibilities of improvement offered by technology . This syThis systematic review was conducted according to the preferred reporting items for systematic reviews and meta-analyses, or PRISMA, guidelines . To idenOne author performed the initial eligibility assessment by reviewing the titles and abstracts. Then, two authors independently reviewed full-text versions of 92 articles using the following criteria: (1) intervention studies evaluating the effects of self-management health programs; (2) studies including at least one control group; and (3) peer-reviewed studies.Data extraction was performed independently by the authors. The following data were extracted from each study: first author, date and place of publication, study design, population served, analysis of the program effectiveness, EdTech used, and pedagogical strategy. Extracted data were entered into standardized MS Excel files. Any disagreements were resolved by discussion among the authors.The Scottish Intercollegiate Guideline Network (SIGN) measurement tool was used to assess the risk of bias in each study in this review. SIGN was developed in 1993 to improve healthcare quality for populations in Scotland by reducing variation in practice and outcomes by developing and disseminating national clinical guidelines with recommendations for effective practice based on current evidence . This toA total of 3114 records were found in the database search. These search results were imported using Parsifal, and 1428 duplicates and 81 records marked as ineligible by automation tools were removed. A detailed flow chart of the selection process is shown in After the elimination of duplicates, 1605 records were examined. Subsequently, we searched for papers citing any of the initially included studies. However, no additional articles meeting the inclusion criteria were found in these searches. Finally, 38 full-text papers were reviewed.n = 14), Asia (n = 13), North America (n = 8), Africa (n = 3), and Oceania (1). Twenty-five studies involved adults aged between 35 and 60 years, while ten studies reported educational programs for self-management of health and disease with young adult participants between 18 and 35. In a smaller proportion, programs involving follow-up and control of people >65 years (n = 2) and accompanied by health professionals (n = 2) were identified. The general characteristics of the studies are presented in It was identified that, while some articles met the inclusion criteria, they evaluated performances in regular professional training processes in health ,27, leavDisease self-management programs link different pedagogical strategies and learning methodologies developed to contribute to the knowledge and control of chronic diseases. It was highlighted that 16% of the investigations ,34,47,48Similarly, methodologies that allowed discussion and knowledge exchange among patients in collaborative groups in contextual intervention programs were recognized. We also found analyses of patient perception through the accompaniment of a professional or the majoritarian use of qualitative analysis tools. This review showed that 29% of the texts studied ,54,55,57It was emphasized that the analysis of technological tools, which contributed to self-management of diseases, were contemplated where technology was not an indispensable tool for their management, as reflected in 71% of the investigations that do not report the mediation of technology in their educational process. This point becomes relevant for identifying lessons learned and best practices of current educational processes that aim to meet educational challenges during and after pandemics, where technology is the main instrument for transmitting knowledge.According to the SIGN checklist, 18 of the studies ,45,49,55In interpretating the findings, we were careful about generalization due to the number of studies reviewed and their open-access character. However, the results allowed us to answer the guiding research question and identify the educational process characteristics of self-management of health in public healthcare. The results aligned with recent research on the innovation needs of medical and health education programs reported by health institutions and agencies worldwide ,30. The While public health processes aim to prevent diseases, promote and maintain health and quality of life, the above is interpreted as a call to public health and medical and health education to diversify their objectives and educational strategies for the prevention, promotion, maintenance, and monitoring of population health. Doing so aligns with the recommendations of the World Health Organization (WHO). It invites broadening of the clinical and therapeutic perspective of healthcare and health education through strategies that build frameworks of trust, social support, and learning which respond to the needs of individuals and communities for health and welfare beyond the health-illness binomial .Thus, it seems that health education programs continue to emphasize informative actions on the self-management of diseases, leaving at a low priority the training and monitoring of learning and the appropriation of knowledge and skills for self-care and self-management of health in the daily activities of families and communities . Some reThe findings of this review indicate that health education programs in public health face significant challenges in guaranteeing program access, participation, and permanence and improving the effectiveness of the learning processes. The programs studied mainly address objectives for the self-management of diseases, remaining at the level of health maintenance, and lacking educational processes for disease prevention, promoting integral health, and monitoring people\u2019s quality of life and welfare. Some studies emphasized the importance of involving the participants in the design of the educational sessions and using tools, such as dialogue and other interactive methods, to improve participation . Thus, mRegarding technological tools, electronic education has become crucial in the information era and, therefore, it is also incorporated in medical and health education processes. Our results identify that technologies have offered robust mechanisms that support the self-management of health and guarantee a lasting educational experience for people, any time and place , with neThe findings report that educational processes for self-management of health hold promise for public health intervention when technology supports it. This review suggests recognizing and integrating the transformative possibilities of community education methods coupled with the use of technology. In addition, it is relevant to consider the pedagogical character of health education processes to improve the effectiveness of the programs. To this end, it is essential to strengthen the educational training processes for health professionals and structure evaluation goals for the teaching-learning process in these programs. The assessments should cover content, teaching strategies, appropriation of knowledge, and self-management of health in populations. Concerning technologies in the training processes, their functionality and usability, with regard to achieving the expected learning, should be evaluated.The findings regarding health education methods of self-care as part of community-based care and how technological tools are used are fundamental to this review. Consequently, we urge future research to focus on studying the barriers and facilitators that arise when using technological tools as mediators of learning in health education programs, mainly in terms of access to infrastructure, generational gaps, cultural factors, levels of digital literacy, and economic disadvantages .One limitation of this systematic review is language bias, as we only included studies published in English. Therefore, studies published in other languages, such as Chinese and Japanese, were not included in this review. In addition, the review did not include research from grey literature, which could exclude important unpublished pieces produced by non-governmental organizations. Finally, it should be noted that the analyses performed represent a partial view of the phenomenon under study and, therefore, the generalizability of the data is not considered. Despite these limitations, this literature review study increased the understanding of self-management health education processes and identified opportunities for improvement.This review began with the question, \u201cwhat are the characteristics of educational processes of self-management of health in public health care?\u201d. We identified that the most relevant characteristics respond to objectives focused on self-management of diseases, primarily chronic, and mitigating disease signs and symptoms. There is a focus on remedial education for the maintenance of health that is typical of hospital environments, which, in the public health context, is limited. In this regard, institutions and researchers propose innovative medical and health education processes to improve training and contribute to the prevention, promotion, care, maintenance, and monitoring of integral public health.The innovative processes highlight social and community-based learning characteristics that involve peers, caregivers, families, and professionals in training actions. In addition, some initiatives highlight socio-emotional characteristics of education and the need for contextual learning in daily life practices. Finally, there are characteristics oriented around using technological tools in the teaching-learning process as an area of opportunity to improve their effectiveness and increase their coverage.Future research is invited to examine the barriers and facilitators in medical and health education programs using socio-community and technology-enhanced educational strategies. Furthermore, the contributions of innovative processes for public health education toward long-term improvements in self-management of health and diseases should be evaluated. These research needs are especially relevant due to the COVID-19 health crisis because the fundamental medium of knowledge transmission for the formulation and implementation of health education programs, which recognize the health, economic, social, and cultural realities of communities, has become technology."}
+{"text": "On physical examination, erythematous papules and pustules were observed on the abdomen , on the sternum, the back, and the lateral surface of the buttocks Pruritic folliculitis of pregnancyb)Polymorphic eruption of pregnancyc)Bacterial folliculitisd)Acneiform eruptionPruritic folliculitis of pregnancy (PFP) was originally described in 1981 by Zoberman and Farmer.3This is the least common pregnancy-specific pruritic dermatosis.In the 1999 study by Vaughan Jones et al., a cohort of 200 women with gestational dermatoses (GD) with a two-year follow-up identified PFP in 14 patients (7%).In 2006, Ambros-Rudolph et al. carried out a retrospective study by analyzing the medical records of 505 pregnant women. PFP was diagnosed in only one patient (0.2%), with a history of eczema in childhood and a family history of atopy in two first-degree relatives. The authors proposed a new classification of GD, introducing the term atopic eruption of pregnancy (AEP) which encompasses PFP, prurigo of pregnancy, and eczema of pregnancy.As described in the literature and observed in the present case, patients respond well to topical treatments based on 5% or 10% benzoyl peroxide and 1% hydrocortisone.Pruritic folliculitis of pregnancy is a rare, benign and self-limited gestational dermatosis that does not interfere with maternal-fetal morbidity and mortality. It is essential that pregnant women be adequately diagnosed and advised, and followed-up with specialized care.None declared.Maria Rita Carvalho de Freitas Amorim: Collection, analysis and interpretation of data; writing of the manuscript; obtaining, analysis and interpretation of data; critical review of the literature and approval of the final version of the manuscript.Flavia Amorim Meira Cavaliere: Critical review of important intellectual content; effective participation in research orientation; intellectual participation in the propaedeutic and therapeutic conduct and approval of the final version of the manuscript.Esther Oliveira Xavier de Brito: Critical review of important intellectual content and approval of the final version of the manuscript.Amanda Nascimento Cavalleiro by M. Mota da Silva: Design and planning of the study; critical review of important intellectual content; intellectual participation in the propaedeutic and therapeutic conduct and approval of the final version of the manuscript.None declared."}
+{"text": "Increasing the number of specialized human resources for health is paramount to attainment of the United Nations sustainable development goals. Higher learning institutions in low-and middle-income countries must address this necessity. Here, we describe the 5-years trends in accreditation of the clinical and non-clinical postgraduate (PG) programmes, student admission and graduation at the Muhimbili University of Health and Allied Sciences (MUHAS) in Tanzania, highlighting successes, challenges and opportunities for improvement.This was a retrospective longitudinal study describing trends in PG training at MUHAS between 2015\u00a0and\u00a02016 and 2019-2020. Major interventions in the reporting period included university-wide short course training programme to faculty on curricula development and initiation of online application system. Data were collected through a review of secondary data from various university records and was analyzed descriptively. Primary outcomes were the number of accredited PG programmes, number of PG applicants as well as proportions of applicants selected, applicants registered (enrolled) and students graduated, with a focus on gender and internationalization (students who are not from Tanzania).The number of PG programmes increased from 60 in 2015-2016 to 77 in 2019-2020, including programmes in rare fields such as cardiothoracic surgery, cardiothoracic anesthesia and critical care. The number of PG applications, selected applicants, registered applicants and PG students graduating at the university over the past five academic years had steadily increased by 79, 81, 50 and 79%, respectively. The average proportions of PG students who applied, were selected and registered as well as graduated at the university over the past five years by gender and internationalization has remained stably at 60% vs. 40% and 90% vs. 10% , respectively. In total, the university graduated 1348 specialized healthcare workers in the five years period, including 45 super-specialists in critical fields, through a steady increase from 200 graduates in 2015-2016 to 357 graduates in 2019-2020. Major challenges encountered include inadequate sponsorship, limited number of academic staff and limited physical infrastructure for teaching.Despite challenges encountered, MUHAS has made significant advances over the past five years in training of specialized and super-specialized healthcare workforce by increasing the number of programmes, enrollment and graduates whilst maintaining a narrow gender gap and international relevance. MUHAS will continue to be the pillar in training of the specialized human resources for health and is thus poised to contribute to timely attainment of the health-related United Nations sustainable development goals in Tanzania and beyond, particularly within the Sub-Saharan Africa region. Building stronger health systems in paramount to attainment of the United Nations sustainable development goals (SDGs). The World Health Organization (WHO) recognizes six major health systems building blocks including human resource for health (HRH), service delivery, information, commodities, financing, leadership and governance as pivotal components for maturing health systems to reach their full potential \u20133. Of thIn Tanzania, this large and growing demand for HRH is apparent and is driven in part by the recent changes of disease patterns in the country such as the emergency of the new burden of non-communicable diseases (NCDs) \u201311. In aEver since its founding in 1963, the Muhimbili University of Health and Allied Sciences (MUHAS) and its predecessors have produced the largest share of specialized (Master\u2019s degree level) HRH in Tanzania in fields such as internal medicine, obstetrics and gynecology, pediatrics and surgery, and was the sole producer of such specialists in the country before establishment of other medical universities from the late 1990\u2019s. To date, MUHAS is the only university in Tanzania offering training in super-specialized fields of clinical medicine such as cardiology and nephrology. With the existing and growing demand, and in line with its vision, MUHAS needs to continue to play the leading role in producing an increased output of HRH, especially in the diverse specialized and super-specialized fields, without compromising quality.In order to ensure equitable socio-economic development, higher learning institutions have the obligation to maintain narrow gender gaps by fostering unbiased enrolment and training of the specialized healthcare workforce . MUHAS hSince its existence, MUHAS has faced several challenges in providing specialized training to healthcare workers. Notable challenges include limited sponsorship for postgraduate students which contributes to inability of up to 35% of the selected students to register for studies, inadequate number of qualified academic staff where over half of the 313 currently available full-time academic staff are in the junior ranks of Tutorial Assistant and Assistant Lecturer, and limited physical infrastructure for teaching. Here, we describe trends in development and accreditation of postgraduate programmes, student admission and graduation at MUHAS over the past five years. We highlight successes and provide new windows into challenges and opportunities faced by academic institutions in low- and middle-income countries (LMIC) which can inform other similar efforts.This was a retrospective longitudinal study describing trends in postgraduate degree training (Master and PhD) at MUHAS over the past five academic years (2015-2016 to 2019-2020).To date, MUHAS has seven academic units, comprising five Schools; , two academic Institutes; and 11 directorates; . Besides postgraduate programs reported in this article, the University also runs 6 diploma programmes, 1 advanced diploma programme and 15 undergraduate (bachelor) degree programmes. Currently all MUHAS academic units offer postgraduate training with exception of the Institute of Allied Health Sciences. The total enrolment at the University is currently 4423 students, out of whom 1332 are postgraduate students. In the five\u00a0years period under current report, the university undertook two major interventions including training of faculty on curricula development with the aim to increase the number of postgraduate programmes and initiated an online application system with the aim to increase the number of applicants for postgraduate programmes, especially from outside Tanzania.This study was based on review of documents (secondary data) to obtain information on accredited programmes, academic staff available for teaching, applicants for postgraduate programmes, applicants selected, applicants registered (enrolled), students who obtained sponsorship as well as students who graduated at MUHAS between 2015 and 2016 and 2019-2020. The sources of data included postgraduate admission records, records from the Students\u2019 Academic Report Information System (SARIS), graduation books, minutes of academic committee meetings and annual reports from relevant academic and administrative units.Data were analyzed descriptively. Numerical data were summarized in frequencies and percentages and were presented in Tables and Figures. Outcomes of interest in this study were the trends in number of postgraduate programmes, academic staff available for teaching, admission processes , sponsorship for postgraduate programmes, together with graduation . In analyzing the trends in admission and graduation by gender and internationalization, the number of students in the relevant group was divided by total number of students in appropriate category and multiplied by 100, and proportions for individual academic years were presented for each group with error bars indicating standard deviation. Data were analyzed using Prism 4 .The total number of postgraduate programmes at MUHAS has steadily increased from 60 in the academic year 2015-2016 to 77 in the academic year 2019-2020. Major contributors to this increase were the SOM which initiated 10 new programmes and SPHSS which initiated 3 new programmes in the five-year time span. The SON also initiated 3 new programmes in 2019-2020 , registering a 100% increase in the number of its postgraduate programmes, from 3 in the preceding year to 6 in 2019-2020. Other increase was in the SOD, which initiated 1 new programme (Master of Dentistry in Orthodontics) in 2019-2020 , Master of Science and Master of Science-super-specialization . Currently, there are 17 accredited Master of Science-super-specialization degree programmes or subspecialties in various fields of medicine . The SON offers MSc programmes . The SOD offers Master of Dentistry degree programmes and the ITM offers MSc in Traditional Medicines Development which runs for 2\u2009years, recruiting diverse bachelor\u2019s degree holders with background in science and Doctor of Philosophy (PhD). These are distinguished from coursework programmes in having intense research component culminating in a defendable thesis. Apart from the written thesis, other graduation requirements include course credits in research methodology, biostatistics, bioethics and scientific writing (15 for MSc R&P and 30 for PhD), published articles in peer-reviewed journals (2 for MSc R&P and 4 for PhD) and presentations in scientific meetings (2 for MSc R&P and 4 for PhD).Currently, the University has a total of 313 full-time academic staff. Most academic staff are aged 50\u2009years and below (81%) and are in junior academic ranks of Tutorial Assistant and Assistant Lecturer (52%). Detailed description of the academic staff by age, gender and academic rank is provided in Table\u00a0There was a steady increase in the number of applicants for postgraduate degree programmes over the past five years, from 543 in academic year 2015-2016 to 970 in 2019-2020 (79% increase). Similarly, the number of applicants selected to join the various postgraduate programmes increased over time from 470 in 2015-2016 to 853 in 2019-2020 (81% increase), which is concordant with the increase in the number of selected students who registered/enrolled at the university, from 358 in 2015-2016 to 536 in 2019-2020 to purse studies at MUHAS was 62, 79, 68, 127 and 159 in academic years 2015-2016, 2016-2017, 2017-2018, 2018-2019 and 2019-2020, respectively.The total number of students graduating at MUHAS had steadily increased over the past five years, from 200 in 2015-2016 to 357 in 2019-2020 (79% increase). The SOM and SPHSS contributed the largest number of graduates in each of the past five academic years . Here we aimed to describe the trends in initiation of specialized programmes, enrolment and graduation at the Muhimbili University of Health and Allied Sciences (MUHAS), the premier health sciences university in Tanzania. We show that, compared to five years ago, the MUHAS has made noteworthy strides by initiating 17 new specialized and super-specialized degree programmes, increasing student enrolment by 50% and increasing the number of graduating Tanzanian and international health specialists by 79% whilst maintaining a narrow gender balance. Overall, the University graduated 1348 specialized healthcare workers in the five years period, including 45 super-specialists in critical fields. These advances will have significant positive impact in strengthening health systems in Tanzania and Sub-Saharan Africa at large.MUHAS has a notable strength in the large number of specialized degree programmes in health sciences. Over the past five years, this strength has been emphasized by initiating 17 new competence-based and demand-driven programmes. The super-specialized programmes, also known as subspecialties, have been established in collaboration with partnering institutions in-country, including the Jakaya Kikwete Cardiac Institute, Muhimbili National Hospital, Muhimbili Orthopedics Institute and Ocean Road Cancer Institute, as well as universities in South Africa, Australia, United Kingdom, Germany, Sweden, Norway, Canada and USA that provided technical assistance as well as expertise in teaching as visiting scholars, adjunct faculty and through opportunities for international clinical attachments. This model has been used successfully in other countries in Sub-Saharan Africa and has proven to be effective for the transfer of skills to LMIC . The incThe WHO estimates that Sub-Saharan Africa would need to scale up its production of healthcare workforce by 140% in order to meet the international development targets . In the Besides training of Tanzanian healthcare workforce, and in line with the obligation for regional and international integration , 26, MUHNotwithstanding achievements made, there have been several challenges that were experienced over the past five years. Firstly, close to 35% of selected students in each academic year did not register due to lack of sponsor, being called back by employer due to staff shortages and other personal reasons. In addressing this challenge, the University continues to work closely with the Tanzania government through the Ministry of Health\u00a0as well as Ministry of Education, Science and Technology and other stakeholders in advocating for increased sponsorship to postgraduate students. Secondly, the University has inadequate number of qualified academic staff. The University is tackling this challenge by increasing recruitment of academic staff and soliciting scholarship opportunities for training of the junior staff towards PhD. Lastly, with the expansion of programmes and enrolment, the University is currently facing limitation of physical space for teaching. In addressing this challenge, the University is working to expand the physical infrastructure including extension of the dental facility at the SOD which is underway. Furthermore, the University has acquired 3800 acres of land in Mloganzila area, Dar-es-salaam, where a new campus will be built. To date, a 571-bed state-of-the-art hospital has been built in the area and construction of the Centre of Excellence in Cardiovascular Sciences - a research and teaching facility - is near completion. Next in plan is construction of lecture halls, laboratories, student hostels, administrative buildings, library, and other supporting units.Despite challenges encountered, the MUHAS has made significant advances in the past five years by increasing the number of programmes, enrolment, and graduation of specialized and super-specialized healthcare workforce for Tanzania and beyond, whilst maintaining a narrow gender gap. These milestones occurred amidst challenges of inadequate sponsorship, limited number of academic staff and limited physical infrastructure for teaching. The proposed improvements will further cement its leading role in training of the specialized and super-specialized healthcare workforce for Tanzania and Sub-Saharan Africa by enhancing the diversity of programmes, enrolment, gender equity and internationalization thus contribute positively towards timely attainment of the SDGs for Tanzania and the region."}
+{"text": "At the launch of this issue, then newly discovered COVID-19 seemed to be faltering, and the collection of papers gathered in this publication was bound to be both a reminder and a relatively final display of domains and aspects of human functioning that were somehow affected by the corona crisis. Meanwhile, the health situation in the world has shown us the full breadth of the impact that the coronavirus has left or still leaves in almost all fields of human behavior. Overall, bibliographic mapping shows that most of the papers, framed within the scientific study of coronavirus and its societal impact, were in the field of medicine and psychology , mental health , and positive and negative affects during the COVID-19 outbreak. Taking a more differential approach, papers dealing with the socio-cognitive factors related to the COVID-19 crisis build the next larger group of the collected articles . The third group includes papers dealing with preventive and protective behaviors, such as adherence to epidemiological recommendations . A final group of studies conferred deals with the way of mitigating psychological distress during the coronavirus crisis. In the following paragraphs we have grouped these studies according to overarching topic, with their main findings summarized.As in the case of other health crises in the human history, our research collection has placed an emphasis on the effects of this pandemic on our emotional and cognitive behaviors, as well as attempts to prevent or mitigate its destructive effects. Indeed, most of the collected papers revealed the affective side of living with the pandemic. These studies cover topics of anxiety Fear of COVID-19, Stress, and Anxiety in University Undergraduate Students: A Predictive Model for Depression Anxiety and Social Support as Predictors of Student Academic Motivation During the COVID-19 The Influence of Personality, Resilience, and Alexithymia on Mental Health During COVID-19 Pandemic (Mehuli\u0107 and Kamenov)Mental Health in Affectionate, Antagonistic, and Ambivalent Relationships During the COVID-19 Pandemic: A Latent Profile Analysis The Relationship Between Quarantine Length and Negative Affect During the COVID-19 Epidemic Among the General Population in China: The Roles of Negative Cognition and Protective Factors .The Moderation Effects of Comparative Thinking Between Gratitude and Negative Affect During the COVID-19 Outbreak Analytic Thinking and Political Orientation in the Corona Crisis Who Believes in COVID-19 Conspiracy Theories in Croatia? Prevalence and Predictors of Conspiracy Beliefs The Relationship Between Perceived Stress and Subjective Cognitive Decline During the COVID-19 Epidemic .Individual Differences Facing the COVID-19 Pandemic: The Role of Age, Gender, Personality, and Positive Psychology vs. non-pharmacological measures differ, which should also be considered when planning communication strategy. These are the studies dealing with the above topics:Lep et al.)One Hundred and Sixty-One Days in the Life of the Homopandemicus in Serbia: The Contribution of Information Credibility and Alertness in Predicting Engagement in Protective Behaviors Boldness Personality Traits Are Associated With Reduced Risk Perceptions and Adoption of Protective Behaviors During the First COVID-19 Outbreak .Trust in Science, Perceived Vulnerability to Disease, and Adherence to Pharmacological and Non-pharmacological COVID-19 Recommendations , it is advised to avoid some self-guided techniques (such as expressive writing) in the context of the COVID 19 pandemic\u2014as suggested by the following studies:Rivera et al.)Autogenic Training Improves the Subjective Perception of Physical and Psychological Health and of Interpersonal Relational Abilities: An Electronic Field Survey During the COVID-19 Crisis in Spain Reduction of COVID-19 Anxiety Levels Through Relaxation Techniques: A Study Carried Out in Northern Spain on a Sample of Young University Students .Effectiveness of Expressive Writing in the Reduction of Psychological Distress During the COVID-19 Pandemic: A Randomized Controlled Trial and three continents testified about the efforts made world-wide to better understand its impact and mobilize inter- and intra-individual resources in combating its negative consequences.We have found commonalities of psychological responses of fear, anxiety, conspiracy, resiliency, and support across countries and cultures. We have also seen strong individual and group differences responding to COVID-19 related stress due to age, gender, and culture. This Research Collection provides examples of the many ways in which evolutionary principles can help advance psychological and behavioral science applied in a pandemic context. The Topic provides scientific evidence of effective coping strategies to protect from stress and negative emotions, such as:- Build trust in science and lower the sense of political helplessness- Increase optimism, cognition, uncertainty tolerance, and social support- Mindfulness, relaxation, and writing to reduce stress.This Research Topic was envisioned as an evidence-based reminder of the times of crisis caused by the new and then little-known coronavirus. By clearly identifying areas of research important for our coping with the pandemic and its effects, this Research Topic has outgrown its primary purpose. It can now be viewed as a tool for generating new valuable research ideas, consolidating the existing findings, and testing future treatment strategies.AV has drafted the article. All authors have contributed to the final revision to the editorial.Part of the effort was supported by United States National Institute of Health AG060608 to YJ.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest.All claims expressed in this article are solely those of the authors and do not necessarily represent those of their affiliated organizations, or those of the publisher, the editors and the reviewers. Any product that may be evaluated in this article, or claim that may be made by its manufacturer, is not guaranteed or endorsed by the publisher."}
+{"text": "World Heritage sites, Biosphere reserves and UNESCO Global Geoparks are three primary categories of UNESCO-designated sites. As irreplaceable sources of life and inspiration, heritage is our legacy from the past, what we live with today, and what we pass on to future generations . StrengtTaking into consideration the interdisciplinary nature of heritage studies, scientists, engineers, managers and relevant stakeholders with diverse knowledge advocate a more cooperative approach to develop comprehensive, yet practical, solutions and applications. Space technologies, including remote sensing, Geographic Information System (GIS), Global Navigation Satellite System (GNSS), along with big data, cloud computation, artificial intelligence, 5G communications etc., provide a new paradigm of scientific and technological innovation, with the potential to transform the way of social production and people\u2019s life.The relevance and performance of space technologies in managing and monitoring heritage sites has already been established. Applications for space technologies in heritage conservation enable innovative solutions primarily in three aspects. First, the core elements of heritage ontology along with surrounding environments can be digitalized to develop seamless virtual representations that help to archive valuable archaeological assets, improve resource management, enable digital forensic studies and data intensive investigations utilizing modern analytical techniques and methods. Secondly, space-air-ground stereoscopic observation enables high resolution monitoring of heritage sites to sense minute changes and perceive historical and ongoing transformations in near real-time providing comprehensive information to develop practical solutions. Third, multisource spatiotemporal data and models can be collected, and integrated into a smart management system.Additionally integrating big data analytics, along with simulation/prediction, virtual reality/augment reality, socio-economic and geo-science process model, enhances the capacity to optimize management countermeasures to ensure sustainable development of these heritage sites. These technological resources also help to promote the Outstanding Universal Value (OUV) of heritage sites through digital communication platforms improving knowledge, education, awareness, and recognition of the OUV, and improving community involvement sustainable conservation of UNESCO-designated sites, ensuring a transformation towards a resilient society.The International Centre on Space Technologies for Natural and Cultural Heritage (HIST) under the auspices of UNESCO was proposed to UNESCO by the Chinese Academy of Sciences (CAS) in May 2007. The proposal was approved by the 35th General Conference of UNESCO in October 2009, and ratified by China\u2019s State Council in April 2011. On 24 July, 2011, the launching ceremony of HIST was held in Beijing. HIST is devoted to developing and utilizing space technologies for the identification, conservation, monitoring and management of UNESCO-designated sites to support UNESCO and its Member States in the implementation of the World Heritage Convention and providing support for the implementation of the UN 2030 Agenda for delivering Sustainable Development Goals (SDGs).Introduction to Space Archaeology (Chinese Version), which is the first book of its kind that reviewed space information technology applications for archaeology and introduced different space information techniques used for archaeology application and discussed the potential to establish a new discipline: Space Archaeology. Another prominent case is that HIST worked with other international scientists to make the discovery of 10 new archaeological sites in Tunisia dating to ancient Rome using Chinese space technology, which won the plaudits from Tunisian Ministry of Culture and Chinese Academy of Sciences. In addition, HIST has also expanded its global network with more than 30 UNESCO Member States and international organizations such as IUCN, ICOMOS, ICCROM. In the past decade, HIST has\u00a0made outstanding achievements, received international recognition and wide praise from UNESCO and other international organizations as well as relevant governments and institutions across the globe.Since its inauguration in July 2011, HIST has played a vital role in assisting UNESCO and its Member States in the conservation of UNESCO-designated sites. It has conducted 70 international conservation projects such as Remote Sensing for Environment of Angkor Site, Monitoring Landscape Evolution and Abnormal Deformations of the pagodas in Bagan World Heritage site, Monitoring and Analysis of Changes in the Forest Cover Loss in Asian Elephants\u2019 Habitats in Sri Lanka, Digital Characterization and Preventive Conservation of the Ming Great Wall with 20 UNESCO Member States, like Cambodia, Tunisia, Italy, Brazil, and strengthened capacity building through cultivating 20 doctoral students from developing countries and training 300 heritage site managers, technicians, researchers and decision-makers from UNESCO Member States. Meanwhile, HIST has pioneered the building of a new discipline-Space Archaeology. One of the landmark achievements is the publication of the Heritage Science, part of Springer Nature, to launch the special issue (article collection) to commemorate its 10th anniversary. This special issue presents the latest academic achievements from HIST researchers and its international partners. It groups a selection of eleven papers to illustrate the uses of space technology in the characterization, monitoring and assessment of heritage sites. These research studies not only highlight the necessity of this technology by emphasizing its benefits in first-hand data collection at macro\u2013micro scales, but also reveals its advantages in sustainable conservation of heritage properties by means of spatiotemporal analysis and scientific findings.Supported by the Bureau of International Cooperation, Chinese Academy of Sciences, HIST has joined hands with As the one of the four ancient civilizations worldwide, the\u00a0Chinese civilization is quite unique and one that has lasted continuously for thousands of years. Cultural heritage sites are witnesses to our history, a mirror to reflect upon our past. Yan et al. utilizedOn site or space-based monitoring and surveillance is the most effective way to evaluate the condition of heritage sites as well as their surrounding environment. For those inaccessible locations , the prominent role of remote sensing for heritage monitoring is essentially important and irreplaceable. Owing to the technological advance of active and passive Earth observation sensors along with intelligent processing chains and the emerging of open-source data , remote sensing has been applied as a systematic observation tool for stakeholders to map drastic or slowly driven landscape changes towards the better management of these sites and their surroundings . In caseThe paradigm of scientific discovery has transformed from statistical modelling to the data-driven and knowledge mining in the era of big data. Considering the transboundary and interdisciplinary characteristics of heritage studies, the potential of big data science in the sustainable conservation and smart management of heritage sites needs to be fully exploited. In Liang et al. , the spaIn general, the digital technology and data aggregation are the foundation for the data-driven knowledge mining. In the smart management of Mount Lushan project, Cai et al. evaluated the performance of digital technologies including oblique aerial photography, 3D laser scanning and 360-degree panorama imaging and synergistically utilized them to integrate all elements into a virtual tourism subsystem. This pilot application is a representative demo to overcome the shortcoming of heritage protection and heritage tourism marketing .Looking forward, future researches on the application of space technologies to heritage conservation will be conducted in six major fields: (a) heritage-related multi-source data access, big data processing and analytic techniques, (b) fine-precise heritage conservation methods; (c) digital heritage technological system based on high and newly emerging technologies; (d) blending and presentation techniques for heritage utilization; (e) the formulation of different standards for heritage property conservation and digital conservation; (f) participatory heritage education, social governance pathways and methods.In the next decade, HIST would like to strengthen partnerships with UNESCO and its Member States and advisory bodies as well as other international organizations to meet strategic demands for the conservation and sustainable development of UNESCO-designated sites. It calls for global stakeholders to make concerted efforts to integrate science, technology and engineering to develop a system of theoretic framework and technological methodology, to further build space archaeology paradigm, to construct an international digital world heritage platform for scientific research and technological application by integrating database, monitoring, evaluation, presentation and decision support, and to establish a whole chain of digital heritage with a mix of data access, processing, analysis, presentation, application and industrialization, thus helping UNESCO and its Member States to achieve heritage-related SDGs."}
+{"text": "Religiosity and spirituality are commonly supported and viewed as essential elements of well-being in old and very old age, particularly at end of life. These essential elements often include the exploration of the meaning in life, inner peace, belonging, contentment, and near-end-of-life-completion. The positive outcomes of religious and spiritual beliefs and practices have been well established. However, these experiences and related positive outcomes may not always include a diverse array of older adults. The spiritual care of older adults is becoming more culturally diverse and includes differing perspectives on what constitutes spiritual care, both in approach and practice. This symposium will explore the current state of spiritual care for older adults through a lens of cultural diversity and inter-religious/spiritual perspectives. A focus on the current practices of spiritual care for older adults and future implications will also be considered. Recommendations pertaining to future gerontological inquiry in the importance of spiritual care, as well as diverse approaches within gerontological practice will be highlighted and discussed."}
+{"text": "The current increase in the number of publications on the use of artificial intelligence (AI) technologies in neurosurgery indicates a new trend in clinical neuroscience.The aim of the study was to conduct a systematic literature review to highlight the main directions and trends in the use of AI in neurosurgery.Using the PubMed search engine, 327 original journal articles published from 1996 to July 2019 and related to the use of AI technologies in neurosurgery, were selected. The typical issues addressed by using AI were identified for each area of neurosurgery.The typical AI applications within each of the five main areas of neurosurgery were defined.The article highlights the main areas and trends in the up-to-date AI research in neurosurgery, which might be helpful in planning new scientific projects. In the first part of this systematic review : 106), using topic modeling, we determined the main topics featured in publications on artificial intelligence (AI) in five important fields of neurosurgery: neuro-oncology, functional, vascular, spinal neurosurgery, and traumatic brain injury. The second part of the review presented here discusses the main issues addressed by the authors to test and evaluate AI methods.The review was conducted using PRISMA guidelines .The analysis covered journal articles and international conference proceedings that met the following criteria:the publication was an original research article;the publication referred to a disease and/or a treatment directly related to neurosurgery;the authors analyzed the use of AI technology for solving clinical problems of diagnosis, treatment, prognosis, rehabilitation, or prevention of a nervous system disorder;neurosurgery was a potential or actual field of application for the AI technology analyzed in the study.(https://www.ncbi.nlm.nih.gov/pubmed/). The search query was phrased to find all documents, in which the terms \u201cneurosurgery\u201d or \u201cneurosurgical procedures\u201d were coupled with terms related to specific AI technologies in all database fields. The exact and complete query in the PubMed search engine is given below:The literature search for this systematic review was performed with PubMed US National Library of Medicine search engine system OR \u201cneurosurgical procedures\u201d[All Fields] OR \u201cneurosurgery\u201d[All Fields] OR \u201cneurosurgery\u201d[MeSH Terms]) AND .The search results from PubMed were reviewed to select original articles that met the inclusion criteria in this systematic review. The selected articles were classified according to the relevant fields of neurosurgery. The topics in these studies were preliminary outlined by experts and their number was counted. The selection process and the technical tools used in this systematic review have been detailed in Part I.In accordance with the inclusion criteria, 327 papers published between 1996 and July 2019 were selected. A complete list of the 327 publications is presented in the Appendix. Below, we analyze the application of AI technologies in each field of neurosurgery in more detail; typical publications illustrating the study objectives are shown in brackets. Approximately 41% of the selected studies provide examples of using AI technologies in neuro-oncology (see Appendix). Most of data for these works were obtained from medical images as well as from genomic sequencing and histology.The main tasks in neurosurgical oncology attempted to be solved using AI technologies were:segmentation and volumetry of brain structures , 3;noninvasive tissue and molecular genetic differential diagnosis \u20137;predicting complications and treatment outcomes , 9.One of the unconventional AI applications in neuro-oncology was the analysis of research trends in neuro-oncology based on scientific publications. An interesting task to be solved was concerned with the brain shift during neurosurgery. The solution to this problem is of great importance for the developing technologies of intraoperative neuro-navigation. Approximately 19% of articles on the use of AI in neurosurgery address the issues of functional neurosurgery, including epilepsy surgery (see Appendix). The data in these studies were obtained from electroencephalography and electrocorticography, magnetoencephalography, medical imaging , as well as deep brain stimulation, video monitoring of patient\u2019s condition, medical records, biochemical and genetic analyses, wearable devices.Among the typical tasks approached by researchers in these studies, there were:diagnosis of epilepsy, ictal and interictal activity, seizure predictors \u201312;functional tractography ;search for epileptogenesis biomarkers ;patient selection for epilepsy surgery ;predicting outcomes of epilepsy treatment ;Parkinson\u2019s disease diagnostics ;study of functional compensatory mechanisms in patients with Parkinson\u2019s disease ;study of movement disorders in Parkinson\u2019s disease ;electrophysiological identification of postural tremor and voluntary movements with essential tremor ;detection of targets, planning and modulating of deep brain stimulation ;prediction of postoperative side effects ;predicting the outcomes of microvascular decompression in hemifacial spasm ;search for electrophysiological correlates of neuropathic pain ;diagnosis of neuropsychiatric disorders ;research of episodic and semantic memory mechanisms ;speech-based identification of hemisphere dominance ;detection of the epileptogenic focus and segmentation of brain structures .This section of neurosurgery is characterized by a greater variety of research tasks as compared with neuro-oncology. Predominantly, attention was paid to epilepsy and movement disorders. The principal source of data was the electrical activity of the brain as recorded not only from the scalp, but also from the cortex and deep brain structures including specific neural ensembles. Using intracranial microelectrodes, researchers were able to directly measure the electrical activity in the brain and then analyze that in studies on memory and speech. Research in vascular neurosurgery accounted for 14% of the entire pool of retrieved publications on AI in neurosurgery (see Appendix). Most of the data were retrieved from medical images followed by the data from medical information systems, bedside monitor recordings, electroencephalography, stereolithography, blood tests, and social/demographic questionnaires. A non-typical source of data in this field was a study on environmental pollution.The key tasks of the above studies were:identification of patients with aneurysms ;diagnosis of unruptured aneurysms ;risk factors and risk assessment for aneurysm rupture and spontaneous intracranial hemorrhage ;risk assessment for cardiac disorders after aneurysmal subarachnoid hemorrhage ;predicting outcomes of ruptured aneurysms ;predicting ischemia after aneurysmal subarachnoid hemorrhage ;grading the severity of intracranial vascular stenosis ;diagnosis of atherosclerotic plaques ;predicting a persistent decrease in blood pressure after carotid stenting and angioplasty ;risk assessment for stroke after carotid artery stenting ;predicting perfusion deficiency ;segmentation of blood vessels and arteriovenous malformations ;predicting adverse events and outcomes of treatments for arteriovenous malformations ;definition, classification, and segmentation of intracranial/intracerebral hemorrhage ;discovering the genesis of intracranial hematomas ;predicting an increasing volume of hypertensive intracerebral hematoma ;risk assessment for intracerebral hemorrhage ;predicting functional outcomes of intracerebral hemorrhage ;predicting consciousness impairment in hemorrhagic stroke .Despite the substantially smaller number of publications as compared to neuro-oncology, the field of vascular neurosurgery earned a fairly wide range of AI applications. Most of these tasks can be summarized as (i) diagnosing pathological vascular formation and (ii) predicting complications and treatment outcomes. The use of AI in the field of spinal neurosurgery was discussed in 8% of the publications (see Appendix). The main sources of data in this area were medical images , as well as the data obtained from limb motion sensors. Special data were derived from video recordings of the surgeon\u2019s movements, as well as articles from the US National Library of Medicine. The main tasks addressed in this area of research included:prediction of complications ;prediction of treatment outcomes ;hospital discharge options ;transformation of images into different modalities ;segmentation of bone tissue and the spine ;grouping of patients and interventions for spinal deformation surgery ;assessing the motor function in patients with cervical spine disease and lumbar stenosis of the spinal canal , 54;assessing the foot drop in lumbar radiculopathy ; visual predicting the long-term use of opioids after surgery ;predicting the development of osteoporosis .The unusual research in this category included two studies on predicting changes in the intracranial pressure in patients during spinal surgery and predicting the surgeon\u2019s actions during the intervention , 60. In 8% of the selected studies, AI was used for issues of neuro-traumatology (see Appendix). The reported data were extracted from medical images , electroencephalography, patient monitoring devices , clinical examinations, eye movement recordings, and genetic studies.With a relatively small pool of AI-associated articles, traumatic brain injury is an area with multiple data sources and quite a few challenging problems related to prognosis. The main objectives of the analyzed studies were:assessing the severity of traumatic brain injury ;diagnosis of impaired consciousness ;quantitative assessment of intracerebral changes ;search for biomarkers of traumatic brain injury ;prediction of secondary injuries, classification of adverse events and complications ;predicting outcomes, searching for prognostic factors ;evaluating autoregulation of cerebral blood flow ;noninvasive assessment of intracranial pressure . About 10% of the studies on AI application in neurosurgery were concerned with general issues relevant to a number of neurosurgical conditions or non-specific for any disease. In these studies, medical imaging data, electrophysiological data, and other sources described above were used. For example, an analysis of infectious complications in patients in the neuro-intensive care unit.Non-standard sources of data in this area included photographs of patients\u2019 faces, information from smartphone , and texts of scientific publications. In the above studies, both traditional approaches to classification and prediction and the most recent methods were used. Thus, almost the entire spectrum of modern AI technologies was involved in these studies.According to our literature review, the majority of data concerning the use of AI technologies in neurosurgery come from neuroimaging, genome sequencing, invasive and non-invasive biosensors, and medical information systems (including unstructured data). Along with that, much less attention has been paid to the AI-based analysis of medical texts .Current technologies of text analysis allow one to explore the content of medical records, highlight relevant information, and test scientific hypotheses. AI technologies can not only extract data from medical texts but also create diagnostic and predictive models based on this data . An archImportantly, electronic medical libraries represent an invaluable source of \u201cbig\u201d data for research tasks. Today, generalization and critical assessment of research results using the criteria of evidence-based medicine are carried out by experts who write systematic reviews and meta-analyses . As a ruToday, a common limitation of AI-assisted research in neurosurgery is a relatively small sample size compared to the \u201cbig data\u201d that has been processed by machine learning in other branches of science and industry. This data insufficiency calls into question the scalability of AI-powered solutions, even though it performs well in isolated studies. That is why research projects using AI technologies are beneficial and productive for medical research organizers who own the resource of big data.In our opinion, when planning research using AI technologies, it is important to adhere to the principles of evidence-based medicine, which ensure the scientific validity of the obtained results and, therefore, increase their benefit to patients. Research planning and the choice of methodology are of fundamental importance and should be adequate to achieve the study objective while minimizing potential biases. In addition, technologies for analyzing large amounts of data can, to a certain extent, compensate for the methodological limitations of research in neurosurgery .With a wide range of tasks demonstrated in this review, the application of the AI technologies can be reduced to two major areas \u2014 research and clinical practice.In research, the AI potential involves its ability to extract a lot of useful information and knowledge by making this extraction most efficient and by reducing the time of investigation. This approach overcomes the limitations of traditional mathematical statistics, which test hypotheses using much fewer data.In clinical practice, AI can be instrumental in solving tasks of medical activities automation, i.e. accelerating, simplifying, and increasing the reliability of diagnosing diseases, making clinical decisions, and predicting possible complications and outcomes of medical interventions. Thus, AI is expected to bring an economic effect by reducing human labor costs and the time for decision-making in medicine.A good understanding of the AI technologies perspectives justifies the efforts to develop and test these methods in research and clinical medicine. The term \u201cartificial intelligence\u201d can be intuitively understood as \u201ca machine capable of thinking\u201d, and in the context of medicine \u2014 literally \u201ca robotic doctor\u201d. Neuroscience has not yet reached the understanding of human intelligence, and AI technologies have not come close to creating an \u201cartificial brain\u201d. At present, the methods united by the concept of \u201cartificial intelligence\u201d, solve rather traditional and pragmatic tasks, but using entirely novel technologies. Calculations based on AI methods, like the results of traditional statistical analysis, are interpreted by a medical doctor. Despite the similarity between the principles of mathematical algorithms and human intellectual activity, the AI methods cannot yet imitate consciousness, conscience, reflection, and other abilities of the human mind, which allow the doctor to make informed and responsible decisions. Like robotic navigation systems, microscopes, and linear accelerators, AI technologies are new tools in the doctor\u2019s arsenal. Today, they have the potential to become routine, but, for now, they cannot replace a clinician. This work includes a large number of publications reflecting major trends in using AI in neurosurgery without addressing the issues of efficacy, safety, or economic feasibility of specific technologies under specific conditions. Thus, the authors limit their scope to stating the facts of using AI methods in various tasks without assessing the quality of these studies.To date, research using artificial intelligence technologies has been carried out mainly in five major areas of neurosurgery: neuro-oncology, functional, vascular, and spinal neurosurgery, and the area of traumatic brain injury. The main sources of data in these studies were neuroimaging, genome sequencing, biosensors, and medical records. The use of artificial intelligence is becoming a global scientific trend in neurosurgery, therefore, an assessment of their efficacy, safety, and applicability in the clinic is highly important."}
+{"text": "Mycobacterium tuberculosis DNA in a cutaneous fragment, through polymerase chain reaction, the diagnosis of gummatous tuberculosis was confirmed, probably secondary to hematogenous dissemination from an intestinal focus.As the treatment of infectious and parasitic diseases improved, the prevalence of these conditions declined. However, with the expansion of the use of immunobiologicals, opportunistic infections have emerged, especially under atypical presentations. The present study reports the case of a patient treated with infliximab for Crohn's disease, who presented diarrhea, weight loss, abdominal pain, fever, and subcutaneous erythematous nodules that evolved with spontaneous fluctuation and ulceration. With the finding of alcohol-resistant bacilli and Immunobiologicals were introduced in the 1990s to treat inflammatory bowel diseases.A 26-year-old female patient was diagnosed with Crohn's disease (CD) due to stomach enterorrhagia and abdominal colic. After therapeutic failure with prednisone, mesalazine, and azathioprine, infliximab 5\u202fmg/kg was initiated. Despite the initial improvement in symptoms, she gradually worsened. After 14 months on infliximab, she maintained an active disease and weight loss, in addition to daily feverish peaks. She presented three subcutaneous erythematous nodules on the posterior region of the right thigh, of approximately 3\u202fcm in diameter, without fluctuation or drainage. Subsequently, these lesions ulcerated, with well-defined edges and a necrotic background . HistopaYersinia pseudotuberculosis was raised. The treatment with gentamicin and ceftriaxone was ineffective, with the onset of a new erythematous cutaneous nodule on the left thigh, which revealed the presence of AAFB on histopathological examination (Mycobacterium tuberculosis by the rapid molecular test, confirming the diagnosis of gummatous tuberculosis. Computed tomography of the chest showed nonspecific nodules, and pulmonary involvement was not ruled out. Treatment with rifampicin, isoniazid, pyrazinamide, and ethambutol was instituted for six months. The ulcerated nodules healed completely after the third month, with no recurrence after one year of follow-up.Due to the characteristics of the granulomas, the hypothesis of infection with mination and geneCutaneous TB accounts for approximately 1% of the cases of the disease.6Gummatous tuberculosis is rare and affects mainly immunosuppressed and malnourished children. It is characterized by subcutaneous erythematous nodules, which evolve with intense central necrosis, fistulization, and ulceration. It results from the acute hematogenous spread of a primary outbreak during periods of bacillemia. The tuberculin test is usually negative. Histopathology shows extensive necrosis, formation of loose granulomas, and high bacillary load. Molecular techniques also contribute to the diagnosis.None declared.Lucas Campos Garcia: Approval of the final version of the manuscript; drafting and editing of the manuscript; collection, analysis, and interpretation of data; intellectual participation in propaedeutic and/or therapeutic conduct of the studied cases; critical review of the literature.Everton Carlos Siviero do Vale: Approval of the final version of the manuscript; drafting and editing of the manuscript; intellectual participation in propaedeutic and/or therapeutic conduct of the studied cases; critical review of the literature; critical review of the manuscript.Maria de Lourdes Ferrari: Approval of the final version of the manuscript; intellectual participation in propaedeutic and/or therapeutic conduct of the studied cases.Lauro Damasceno de Carvalho Faria: Approval of the final version of the manuscript; intellectual participation in propaedeutic and/or therapeutic conduct of the studied cases.None declared."}
+{"text": "This Special Issue on Development of Laser Welding and Surface Treatment of Metals contains as many as twenty-two research articles mainly related to the application of lasers, but also on other welding processes that may be competitive to laser technologies under specific conditions. Despite the introduction of lasers for material processing in the 1960s, the continuous development of laser devices also leads to the development and expansion of laser technology applications. This Special Issue is a compendium of knowledge in the field of fusion welding, the manufacturing of surface layers and coatings with increased wear resistance and tribological characteristics, as well as corrosion resistance and the characterization of coatings and surface layers. The topics of the presented research articles include aspects related to laser welding (eight articles), especially technological conditions, the properties of different types of joints, and analytical and numerical aspects of modelling the laser heat sources. The second dominant issue concerns laser cladding and laser surface treatment of different ferrous and nonferrous metallic and composite materials (six articles). In addition, there are interesting results of the study of fusion welding under forced cooling of the deposit or underwater conditions (four articles), results on the characterization of wear resistance coating produced by different technologies that can be competitive for laser cladding (three articles), and an original study on local strengthening of the thin-walled structure by laser treatment (one article). This Special Issue provides very wide and valuable knowledge based on theoretical and empirical study in the field of laser and fusion welding, laser and related coating technologies, characterization of coatings, and wear phenomena. Striving for sustainable development as well as limiting the harmful impact on the environment, including the reduction in COructures ,2,3.Therefore, new materials are being developed with higher mechanical properties, higher wear resistance and thus higher operating parameters. The conventional welding methods and technologies usually do not provide satisfactory results in applications such as joining and cladding of modern materials, e.g., high strength steel, nonferrous metals and alloys, composite materials, and nanostructured and hybrid materials ,5,6,7,8.The main disadvantages of typical methods of welding and cladding such as conventional arc or plasma arc methods are excessive heat input and the relatively large volume of the molten pool. This leads to overheating of the material, internal stresses and deformations, and unfavorable grain growth or dissolution of the reinforcing phase particles, e.g., carbides or nitrides. Therefore, the attention of researchers and industry is focused on the search for methods of joining and processing materials that ensure a minimum thermal effect on the material and the ability to precisely control the amount of heat and the thermal cycle of the process ,11,12,13One of the dynamically developed areas of material processing technology in recent years is laser material processing technology. In the area of joining materials, laser welding shows several advantages because it provides high-power densities and low diameter of the laser beam spot, and thus high penetration depth, high welding speed, and low, precise, and controllable heat input. The above features are particularly important for the joining of modern and advanced alloys such as ultra-high-strength steels (UHSS), advanced high-strength steels (AHSS), modern stainless duplex and super duplex steel, nonferrous metals, and light metals, e.g., titanium and aluminum alloys ,15,16,17Another area of laser beam application that is currently being intensely developed is the shaping of the properties of surface layers and the production of coatings for enhanced wear characteristics such as corrosion resistance, tribological properties, abrasive resistance, thermal and mechanical fatigue resistance, and resistance to impact load ,6,7,8,18In the area of surface treatment and cladding, the laser beam as a heat source is also advantageous. The most significant advantages include low and controllable heat input, and thus limited thermal impact on the substrate, reduced internal stresses, minimized distortions, high solidification and cooling rates, low penetration depth, and low dilution of the clad layer by the substrate material. Low heat inputs and related high cooling rates during laser processing are beneficial in many applications of surface treatment and cladding as they provide high quality clads and surface layers. Usually, surface layers are characterized by superior metallurgical bonding and a fine-grained and refined microstructure, which are decisive for providing superior tribological characteristics, high abrasive or erosion wear resistance, and corrosion or fatigue resistance ,8,18.It is worth noting that laser-made clads and surface layers show higher functional properties compared to surface layers made by plasma arc (PTA) or conventional arc cladding processes, even if the same additional materials are applied. This is due to intense grain refinement caused by very fast cooling and solidification of the molten pool, typically an order of magnitude higher than plasma (PTA) and conventional arc cladding ,12.Thanks to the advantages mentioned above, lasers are used in different processes of surface treatment such as laser surface hardening (LSH), melting (LSM), shocking (LSS), texturing (LST), alloying (LSA), cladding (LSC), remelting (LSR), and surface deposition (LSD), and in additive manufacturing processes such laser metal deposition (LMD) or selective laser sintering and melting (SLS/SLM) .2 and solid-state rod type Nd:YAG laser generators used for the last few decades, new generations of solid-state lasers are currently available such as high-power diode lasers (HPDL), disk lasers, and fiber lasers [2 gas lasers and disk lasers, as well as fiber lasers [Continuous development of laser generators and related improvement of laser radiation and laser beam characteristics enable further development in the field of laser material processing, including laser welding and laser surface treatment. In addition to the gaseous COr lasers ,15,16,17r lasers ,17,18. There has also been significant progress in the design and construction of fiber generators in the last decade. Modern fiber lasers are also beneficial due to their compact design, high wall plug efficiency, low beam divergence, and possibility to focus the beam into a very small spot, even at relatively high power . MoreoveAnother interesting example of dynamic development in the field of material processing technology is hybrid processes. According to the definition, the hybrid process combines at least two different machining processes which must be carried out simultaneously and in the same processing area . In the case of welding, the laser beam is often combined with the arc, e.g., laser + GMA , laser + GTA (gas tungsten arc) or laser + PTA (plasma tungsten arc). Such combinations of two different heat sources allow taking the advantages of both welding methods. The laser beam is responsible for deep penetration of the material, while the arc processes provide additional heat and material to fill the gap. Consequently, it is possible to weld at high speed and ensure the correct shape of the weld at high depth. Hybrid processes are also being developed in the field of surface treatment and coating applications, ensuring higher functional parameters or the possibility of producing coatings with special properties ,18.The Materials and Methods should be described with sufficient details to allow others to replicate and build on the published results. Please note that the publication of your manuscript implicates that you must make all materials, data, computer code, and protocols associated with the publication available to readers. Please disclose at the submission stage any restrictions on the availability of materials or information. New methods and protocols should be described in detail, while well-established methods can be briefly described and appropriately cited.-Study of technological conditions of laser welding, investigation of test joints properties ,24,25,26-Analytical and numerical models of heat sources of laser beam and arc welding processes ,20,22,23-Study of laser cladding and investigations of the coating\u2019s properties and tribological characteristics ,31,32,33-Study and development of fusion welding processes, investigation of properties of the deposit produced under forced cooling or underwater conditions ,35,36;-Study of cladding, surfacing, and thermal spraying processes of wear-resistant coatings, characterization of the coatings ,38,39;-Study of application of local strengthening of the thin-walled structure by laser treatment .This Special Issue, entitled \u201cDevelopment of Laser Welding and Surface Treatment of Metals\u201d, is a complementary and valuable resource of knowledge in the following fields:In the work presented by Wang et al. , plates Kik presenteIn the second article, Kik presenteThe study presented by G\u00f3rka was focu2 laser welding of lap joints of low-carbon structural steel. They determined hardness profiles and weld geometry for the welds produced at different parameters. They also provided detailed analysis of the metallographic structure of fusion zone (FZ) and heat-affected zone (HAZ), as well as a quality assessment of the tested joints. The laser welding process was also investigated by Danielewski and Skrzypczyk . They prThe study presented by Landowski et al. concerneThe results of the study presented by Pa\u0144cikiewicz et al. also conAnother study on laser welding was presented by Tofil et al. . They coThe topic of laser surface treatment and cladding begins with Lisiecki\u2019s article on the s4C particle on the microstructure and chosen properties was investigated and determined. A highly interesting study on laser surface modification of an aluminum alloy by boron carbides was carried out by Sroka et al. . The fibAnother interesting study on laser cladding was performed by Li et al. . In theiThe next study, presented by Majkowska-Marzec et al. , is relaA comparative study of laser and plasma cladding was presented by Czupry\u0144ski et al. . The coaAnother study on the effect of laser treatment on tribological properties was presented by Lubas et al. . They an2C-WC carbides across the coating. The thematic series on laser surfacing and cladding ends with the article presented by Lisiecki and \u015alizak on hybriAnother very novel and interesting subject related to arc welding processes was presented by Szczucka-Lasota and Szymczak et al. ,35. The Some manuscripts dealt with other arc processes and technologies, but the presented solutions were very innovative. An example of a highly interesting subject was presented by Tomk\u00f3w et al. . They inThe study presented by Mician et al. was relaThe second study presented by Czupry\u0144ski was focuThe next article provided by Czupry\u0144ski presenteAnother original issue was presented in the study by Kapustynskyj et al. . They foThis Special Issue was very successful due to the valuable articles that were submitted, the wide variety of topics and research problems that were undertaken, and in-depth analysis of the state of the art in different fields of laser and related processes. This Special Issue contains a significant number of research articles ; however, the entire number of manuscripts submitted to this Special Issue was half that higher. Unfortunately, some of the manuscripts have not gone through a very rigorous review process. Such a large interest and quantity of articles shows the importance of the issue and themes. It should also be emphasized that each research article in the field of materials processing is the result of tedious, long-term, and interdisciplinary research, usually conducted by a team of scientists. The topics of the articles were mainly focused on laser welding, laser cladding, and laser surface treatment, as well as related processes of fusion welding and manufacturing of coatings. The wide range of experimental, numerical, or analytical study conducted and presented by 58 authors, representing 19 academic or research centers and 3 industrial centers from 5 countries and 16 cities, proved the topicality and importance of this Special Issue."}
+{"text": "Artificial intelligence (AI), together with robotics, sensors, sensor networks, internet of things (IoT) and machine/deep learning modeling, has reached the forefront towards the goal of increased efficiency in a multitude of application and purpose. The development and application of AI requires specific considerations, approaches, and methodologies. This special issue focused on the applications of AI to environmental systems related to hazard assessment in Urban, Agriculture and Forestry. A total of ten papers were published in this special issue, with topics ranging from reviewing the current climate-smart agriculture approaches for smart village development to the iThe development of smart villages in Europe requires a framework to secure sustainability based on climate-smart agriculture. As argued by Adesipo et al. , these cOne of the detrimental effects of reduced green infrastructure is the contamination of waterways and water networks. The study by Lu\u010din et al. proposedFor agricultural systems, novel digital technologies were applied for farm animal welfare assessment based on weather information and cow data to predict milk productivity and quality through supervised machine learning . The modClimate change effects include the increased incidence, number and severity of climatic anomalies such as heatwaves and bushfires. These climatic anomalies have a specific impact on viticulture and winemaking, specifically with bushfires producing smoke contamination on leaves and berries, which are later passed to the wine through the fermentation process. These have been investigated in two studies focused on implementing digital technologies and machine learning modeling using low-cost electronic noses and nearFinally, low-cost electronic noses and near-infrared spectroscopy were also implemented to assess the infestation of insects in plants and the insect-plant interaction . This st"}
+{"text": "Zienkiewicz and Zienkiewicz). Because of the vital role of lipid metabolism in photosynthetic organisms, exploring lipid processes is very important for engineering crops to obtain better agronomic traits including productivity, nutrition, stress tolerance and resilience.Lipids are the essential building blocks of cellular membranes, and they play fundamental roles in numerous biological activities such as photosynthesis, protection, environmental and cellular communication, and storage of carbon and energy. Lipid metabolism is a dynamic and complicated process that includes lipid biosynthesis, transport, accumulation, turnover, and excretion, acting to regulate plant development and tolerance to various environmental stresses. Understanding how lipid metabolism regulates the development and growth in response to adverse conditions raises many interesting questions. Communication between membrane and storage lipids has been observed during the progress, for example, membrane degradation accompanied by lipid droplet (LD) accumulation. Recently, autophagy has been connected with lipid metabolism in plants and algae under stress conditions . As the major reservoir of cellular carbon and energy, TAG is packed in LD, a dynamic organelle at the center of cellular metabolism. The review also compares the LD degradation in plants and algae , while Liao et al. show the roles of two rice acyl-CoA-binding proteins, OsACBP4 (plasma membrane and ER) and OsACBP5 (apoplast), in the intra- and extracellular transport of acyl-CoA esters, respectively leaves ; together with the specificities of extraplastidial acyltransferase enzymes, the olive OeFAD2-2 and OeFAD2-5 regulate the oleic/linoleic acid ratio in the mesocarp of olive cultivars . The Research Topic also highlights the significance of lipid metabolism in environmental stress response and tolerance that catalyzes the biosynthesis of very-long-chain fatty acid (VLCFA) in Citrus sinensis , reduces water loss and ion leakage and increases tolerance to drought and salt stress ; Arabidopsis phospholipid:diacylglycerol acyltransferase 1 (AtPDAT1) promotes the activities of acyl-CoA:lysophosphatidylcholine acyltransferase (LPCAT) and acylCoA:lysophosphatidylethanolamine acyltransferase (LPEAT) and improves resilience to heat and cold exposure . In Vaccinium corymbosum L., cv. Duke (Duke blueberry), intermittent warming treatment of the fruit regulates its lipid metabolism such as increases in phosphatidylcholine, linoleic acid, and oleic acid, which enhances the low-temperature tolerance in the fruit . In the roots of maize, integrated lipidomic and transcriptomic analyses reveal the membrane lipid remodeling and gene regulations under saline-alkaline or cold stress , which are applicable for engineering the crop for better performance under these stress conditions.This Research Topic includes 10 original review and research articles, with a special focus on lipid metabolism in crops. The review by nd algae . Lookingectively . Other cultivars (Hern\u00e1ndolerance . In ArabThe collection of articles in this Research Topic demonstrates the significance of lipid metabolism in various biological processes and the findings will contribute to engineering agronomic traits of crops for the increasing demand for food and bioproducts.All authors listed have made a substantial, direct and intellectual contribution to the work, and approved it for publication.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest.All claims expressed in this article are solely those of the authors and do not necessarily represent those of their affiliated organizations, or those of the publisher, the editors and the reviewers. Any product that may be evaluated in this article, or claim that may be made by its manufacturer, is not guaranteed or endorsed by the publisher."}
+{"text": "Objectives: To assess the quality of health facility documentation related to maternal deaths at health facilities in Afghanistan.Methods: Analysis of a subset of findings from the 2016 National Maternal and Newborn Health Quality of Care Assessment in Afghanistan. At each facility, maternity registers were reviewed to obtain data related to maternity caseload, and number and causes of maternal deaths in the year preceding the survey. Detailed chart reviews were conducted for up to three maternal deaths per facility. Analyses included completeness of charts, quality of documentation, and cause of death using WHO application of International Statistical Classification of Disease to deaths during pregnancy, childbirth and the puerperium.Key findings: Only 129/226 (57%) of facilities had mortality registers available for review on the day of assessment and 41/226 (18%) had charts documenting maternal deaths during the previous year. We reviewed 68 maternal death cases from the 41 facilities. Cause of death was not recorded in nearly half of maternal death cases reviewed. Information regarding mode of birth was missing in over half of the charts, and one third did not capture gestational age at time of death. Hypertensive disorders of pregnancy and obstetric hemorrhage were the most common direct causes of death, followed by maternal sepsis and unanticipated complications of clinical management including anesthesia-related complications. Documented indirect causes of maternal deaths were anemia, cardiac arrest, kidney and hepatic failure. Charts revealed at least eight maternal deaths from indirect causes that were not captured in register books, indicating omission or misclassification of registered deaths.Conclusion: Considerable gaps in quality of recordkeeping exist in Afghanistan, including underreporting, misclassification and incompleteness. This hampers efforts to improve quality of maternal and newborn health data and priority setting. The World Health Organization defines maternal death as the death of a woman while pregnant or within 42 days of termination of pregnancy, irrespective of the duration and site of the pregnancy, from any cause related to or aggravated by the pregnancy or its management but not from accidental or incidental causes . MaternaMaternal mortality in Afghanistan has significantly declined from 1,600 deaths per 100,000 live births in 2002 to 638 dDespite these challenges, the Ministry of Public Health (MoPH) in Afghanistan remains committed to reducing preventable maternal mortality and has set a national target for mortality reduction , consideMaternal death surveillance and response (MDSR) is widely implemented in low- and middle- income countries, as one strategy to identify and address health system weaknesses contributing to maternal deaths . In AfghHowever, while national guidelines for maternal and neonatal death surveillance and response exist, authorities acknowledge that maternal death audits have been poorly performed in Afghanistan and gaps exist in the quality of reported data , 15. BeyPrevious studies in Afghanistan have assessed accuracy and validity of maternity care records and quality of cesarean section-related documentation, but none have examined the availability and completeness of documentation of maternal deaths , 17. We National Maternal and Newborn Health Quality of Care Assessment, a cross-sectional health facility assessment conducted in 2016. The assessment was designed to examine health facility readiness for basic and comprehensive emergency maternal and newborn care, and assess quality of routine antenatal care, childbirth and postpartum care, and management of selected obstetric and newborn complications , and a random sample of facilities with fewer than five births per day (n = 149). The sample size for low-volume facilities was calculated to provide a representative sample of the 1,736 public facilities with < five births per day, with a 10% margin of error, 5% alpha error, design effect of 1.5 due to stratification of facility types, and 5% oversampling for potential inaccessibility due to geography or insecurity. In addition, 20 private health facilities were purposively selected to provide a snapshot of care at private sector facilities in all regions of the country.The Data collection was conducted by 32 female doctors and midwives trained on assessment objectives, data collection techniques and research ethics. Data collection methods for this paper included use of a facility inventory and record review tool to verify caseload, availability of relevant data and guidelines, as well as review of patient's folders or mortality charts. Data collection at health facilities with an average of at least five births per day was completed between May 14th, and August 3rd, 2016. Data collection at health facilities that averaged fewer than five births per day was completed from November 5, 2016, to January 5, 2017. At each facility, maternity registers were reviewed for information on the maternity caseload and number and causes of deaths in the year preceding the survey. Detailed chart reviews were conducted for up to three maternal deaths per facility; charts were requested for the three most recent maternal deaths in the previous year. For each chart, data collectors extracted information on client characteristics, location and mode of childbirth, timing and causes of death, and newborn outcomes. Data collectors reviewed charts for any information on factors contributing to maternal death and noted if women experienced any of the following: delayed arrival to health facility, delayed transfer to appropriate level of care, delay in care due to lack of supplies, delay in care due to absence or non-attendance on part of the health professional, delay in correct diagnosis . All datData was exported from CommCare to Excel for cleaning and analysis. We used visual inspection and descriptive statistics methods to analyze quality of documentation and completeness of charts, and case review methods to classify causes of death using WHO Application of ICD-10 to deaths during pregnancy, childbirth and the puerperium (ICD-MM coding). Facility types were defined as follows: (1) Specialized, Regional, and Provincial Hospitals; (2) District Hospitals (DHs) with an average of five or more births per day; (3) DHs and Comprehensive Health Centers (CHC) with an average of fewer than five births per day; and (4) Basic Health Centers (BHC), Sub Health Centers (SHC), Family Health Houses (FHH), and other primary health care facilities.The 2016 Afghanistan National Maternal and Newborn Health Quality of Care Assessment protocol was approved by the ethical review boards of the Afghanistan Ministry of Public Health (361533) and the Johns Hopkins Bloomberg School of Public Health in Baltimore, Maryland . Written permission for data collection was also obtained from the in-charge of each facility.Review of maternity registers showed an average number of 194 births per month at public facilities and 67 births per month at private facilities in the Afghan calendar year preceding the assessment (April 2015 \u2013 March 2016). An average of 175 antenatal care visits per month were reported at public and 107 antenatal care visits per month at private facilities . Of publSpecialized, Regional, and Provincial Hospitals which reported an average of more than 8500 births per year , recordeWe reviewed patient charts for 68 women from 41 facilities , who died from direct or indirect causes related to the pregnancy, childbirth or clinical management. Seventeen charts did not record the age of the woman who died and 21 did not indicate gestational age. In more than half (39) mode of birth was not recorded. Seventeen did not record timing of death in relation to childbirth . Approximately half of the charts reviewed (35 of 68) recorded cause of death .Of the 51 charts with the woman's age recorded, four were <20 years old, 31 were between the age of 20 and 35 years and 16 were over 35 years of age. Of the 52 charts with birth location recorded, most (46) were facility births, whilst four women gave birth at home, and two women on the way to the health facility. Mode of birth was only recorded for 29 cases: 18 women gave birth vaginally and 11 by cesarean section. Fourteen women were referred from lower level health facilities and private sector to higher levels of care. Of the 51 charts with timing of death recorded, 33 were deaths occurring postpartum, 13 intrapartum and 5 antepartum.The review of patient's charts showed that the main causes of mortality were obstetric hemorrhage (17), hypertensive disorder, preeclampsia and eclampsia (16), amniotic fluid embolus (2), unanticipated complication of management such as anesthesia (2), sepsis (1), and ectopic pregnancy (1). Fifteen charts indicated no indirect causes of maternal death, while 37 did not record any information on indirect causes. The causes of death listed in 16 cases reporting indirect causes were cardiac, respiratory, liver and kidney disorders (9), anemia (4) and anemia with heart and kidney disease (2), and shock (1) . SixteenThe 68 maternal mortality charts reviewed included 59 singleton pregnancies and 9 twins . Of the Fifty-five of the 68 maternal mortality charts reviewed included information on factors contributing to maternal deaths . Thirty-Our study shows remarkable weaknesses in quality of documentation and record keeping, at both public and private facilities in Afghanistan. We found glaring gaps in completeness of recordkeeping. Critical information on characteristics of deceased were missing in nearly half of the records. Our results are in line with other studies from Afghanistan that have indicated that quality of medical record keeping is extremely low , 17, 22.Charts reviewed suggest that the most commonly reported direct causes of maternal deaths were obstetric hemorrhage, eclampsia, and abortions; fewer cases were recorded on maternal sepsis and complications of anesthesia. Hence, urgent effort is needed to first address these immediate causes of death for many women, while putting in longer-term efforts to strengthen the health system and working on social determinants that lie outside the realm of the health sector, in a multifaced approach , 3. As pAccurate classification of causes of maternal mortality is vital for decision making and provision of care; otherwise there could be misclassification and under-identification of maternal deaths at facilities, where a woman of reproductive age may die in a medical or surgical ward with an undiagnosed obstetric complication . For proNotably, reliability of facility level data will become even more important when frontline clinicians accurately record clinical activities and related outcomes in charts. Information on the medical records can be used to improve health service quality , 27. MorThe private health sector in Afghanistan is dynamic, rapidly expanding, and largely unregulated . Very feIn Afghanistan, the poor quality of medical records, lack of knowledge and skills, staff turnover, lack of coordination, the culture of blame and inadequate resources are barriers to conducting effective death reviews , 31, 32.Providing targeted refresher training on clinical record keeping, improved compliance by health care providers, staff support and fostering a culture of secrecy and professional protectionism, and non-punitive responses on medical errors, and strong leadership at national level and at lower levels of governance will lead to accuracy, reliability and completeness of medical records , 22, 31.There are some examples of successful large-scale implementation of MDSR in low- and middle-income countries, including in Malaysia, Sri Lanka and India. Evidence suggests that such implementation requires considerable efforts to identify and address maternal deaths and associated factors . In counMDSR remains a vertical intervention in Afghanistan, operated in parallel to the country's disease surveillance system. A study in Ethiopia has emerged the importance of MDSR embedment within the existing disease surveillance system as a routine practice rather than a stand-alone system, with a greater supervisory support to improve the reporting and response mechanism .There are considerable methodological shortcomings of surveys to measure maternal mortality in Afghanistan, exacerbated by the fragile context. Efforts should be redirected to improve access to and quality of routine maternal health data to obtain real time-insights, with increased longer-term investment in civil registration and vital statistics .The use of electronic medical records (EMR) in Cameroon and Malawi has shown an increase in completeness and accuracy of medical records , 36. A sOur study is not without limitations. It was designed to assess the quality of broader maternal and newborn health services. Therefore, only three most recent patients' charts per facility were reviewed, not all deaths in the previous year, so data on case characteristics and causes of death cannot be considered representative of all maternal deaths in Afghan health facilities. The private-sector snapshot provided only a limited picture of maternal mortality in private health facilities in Afghanistan and cannot be compared with nationally representative data from public health facilities. Despite these limitations, our study shines a light on the deplorable quality of record keeping and documentation of maternal health outcomes, and highlights challenges in relying on facility records for estimations of maternal mortality.Our study identifies considerable concerns with regard to the quality of record keeping in Afghanistan. These encompass under reporting, misclassification, and incomplete documentation. Improvements in record-keeping and health management information systems are critical to improve maternal and newborn health outcomes. Improving the quality of maternal and newborn health data requires robust political support and investment at various levels to support real-time clinical and political decision making and priority setting. This paper serves as a call to improve documentation and analysis of causes of maternal deaths amidst insecurity in Afghanistan, and to systematically improve accountability for coordinated, data-driven efforts to address factors associated with preventable maternal mortality.Data is available from the principal investigator or upon reasonable request or signature of a data use agreement.The studies involving human participants were reviewed and approved by the ethical review boards of the Afghanistan Ministry of Public Health (361533) and the Johns Hopkins Bloomberg School of Public Health in Baltimore, Maryland (6799).FM served as co-trainer for the 2016 Afghanistan National Maternal and Newborn Health Quality of Care Assessment, wrote the first draft of this manuscript, led data analysis, interpretation and revision of this article. TvdA contributed to the writing and revision of the manuscript. JS served as a study advisory board member and contributed to the review and revision of the manuscript. HT served as principal investigator, led the data analysis, and contributed to the interpretation of study findings and revision of the manuscript. All authors read and approved the final manuscript.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "People with substance use disorders may be at a greater risk of contracting COVID-19 infection and developing medical complications. Several institutional and governmental health agencies across the world developed ad hoc guidance for substance use disorder services and care of individuals misusing substances. We aimed to synthesise the best available recommendations on management and care of people with or at risk of substance use disorders during the COVID-19 pandemic from existing guidelines published in UK, USA, Australia, Canada, New Zealand, and Singapore.th 2021). We summarized the extracted data as answers to specific clinical questions.We systematically searched existing guidelines and websites from 28 international institutions and governmental bodies in the context of the COVID-19 pandemic (May 4We organised the available recommendations from 19 sources in three sections. First, we focused on general advice and recommendations for people who misuse alcohol or drugs during the COVID-19 pandemic, the design of contingency plans, safeguarding issues for children and families of service users and advice to the public, patients, and carers. Then, we summarised specific guidelines for people who use illicit drugs and related services, such as opioid substitution treatment and needle and syringe programmes. Finally, we provided a synthesis on specific recommendations for services supporting people who misuse alcohol and key topics in the field, such as management of alcohol detoxification and safe transition between supervised and unsupervised consumption.Available guidance reflected different approaches, ranging from being extremely cautious in providing recommendations other than generic statements to proposing adaptation of previously available guidelines to confront the challenges of the COVID-19 pandemic. After the early phase, guidance focused on reduction of infection transmission and service delivery. Guidance did not provide advice on infection prevention via vaccination programmes and service access strategies tailored to individuals with substance use disorders.The online version contains supplementary material available at 10.1186/s12888-022-03804-7. The corPeople with SUD may be more susceptible to developing COVID-19. They may have a higher burden of comorbid medical and mental health conditions, be less likely to be tested for severe acute respiratory syndrome coronavirus 2 (SARS-CoV2), and live in social conditions which make it difficult to comply with home isolation \u201310. PeopGovernmental health agencies across the world have rapidly developed additional guidance on treatment services, with adaptations to national legislation and policies, to try and meet the specific needs of patients with SUD during the COVID-19 pandemic . HoweverTo aid the busy clinicians in rapidly accessing reliable sources of existing guidelines in this area, we systematically searched and synthesised the best available guidance of both governmental and non-governmental agencies in the UK, USA, Australia, Canada, New Zealand, and Singapore, focusing on treatment of SUD during the COVID-19 pandemic and its aftermath.th 2021:Governmental institutions: Public Health England (PHE), Centers for Disease Control and Prevention (CDC), US Department of Labor, Singapore Ministry of Health (SMH), Health Canada (Government department), Australian Government Department of Health, Substance Abuse and Mental Health Services Administration (SAMHSA), and Canadian Society of Addiction Medicine (CSAM).Professional bodies: Royal College of Psychiatrists (RCPsych), Royal College of Nursing (RCN), Royal College of Physicians (RCP), American Psychiatric Association (APA), Singapore Psychiatric Association (SPA), Singapore Medical Association (SMA), Canadian Psychiatric Association (CPA), Royal Australian and New Zealand College of Psychiatrists (RANZCP).Health Technology Agencies (HTA): The National Institute for Health and Care Excellence (NICE), Healthcare Improvement Scotland.International agencies: World Health Organization (WHO), Inter-Agency Standing Committee (IASC), UNICEF, European Monitoring Centre for Drugs and Drug Addiction (EMCDDA).Scientific societies: The National Association of Psychiatric Intensive Care and Low Secure Units (NAPICU), RCPsych with British Geriatric Society and European Delirium Association, Massachusetts General Hospital Psychiatry, World Psychiatry Association (WPA), British Association of Psychopharmacology (BAP), Scottish Health Action on Alcohol Problems (SHAAP).A multidisciplinary team within the Oxford Precision Psychiatry Lab systematFurther sources were hand-searched from the references of each website. Given that summarising data from primary studies was beyond our scope, we did not search reference databases . Nonetheless, should we come across a particularly relevant publication, either supporting or in disagreement with available recommendations, we included it to better outline the context of a specific question. A search on Google was also completed using keywords relevant to COVID-19 , substance and alcohol use disorders and related treatments , and guidelines . Queries or disagreements were resolved by discussion with a third researcher (AC), and the team collaborated with international experts in the field to keep the guidance global, focused, and comprehensive. We incorporated the feedback of clinicians and mental health professionals, and the final synthesis of guidelines was grouped in a questions and answers format for ease of consultation, with key sentences highlighted in bold. The recommendations were classified as \u201cGeneral advice and recommendations\u201d, when applicable to the whole population potentially accessing healthcare services due to substance or alcohol misuse, or \u201cspecific guidelines\u201d when tailored to distinct sub-groups of service users. Finally, we appraised the identified recommendations according to type of source organisations and institutions , international agencies, scientific societies).n\u2009=\u200911, 58%%) were from governmental institutions , healthcare technology agencies (n\u2009=\u20092), professional bodies (n\u2009=\u20092), and scientific societies (n\u2009=\u20091). The identified sources focused on promoting telepsychiatry in routine care, providing detailed recommendations on how to deliver digital assessments to abide by the social distancing requirements. Moreover, available guidance emphasised the potential benefits of digital services, such as an increased level of anonymity for consultancy services, though inevitably some services require face-to-face interaction. A blended or mixed approach was thus recommended, such as in-person assessments delivered for people with a moderate level of dependence. Where possible, an increased level of flexibility was prompted in the provision of take-home treatments.We collected recommendations from 19 sources, \u201334 of whThe full guidance is reported in Table We have summarised the available guidelines published in English-speaking countries on several key topics relevant to the management of people with substance or alcohol use disorders and misuse of drugs or alcohol during the COVID-19 pandemic. Identified sources were primarily from governmental institutions. Available guidance reflected several changes to standard practice and care that occurred due to the impact of the COVID-19 pandemic on substance and alcohol use disorders treatment services. Key changes in recommendations focused on the role of telepsychiatry and increased flexibility in dispensing take-home treatments.Identified guidelines widely promoted the use of digital consultations and telepsychiatry to maintain social distancing when delivering substance and alcohol use services whilst minimising perceived social isolation. The social distancing restrictions in several countries prompted a rapid implementation of telehealth and the dissemination of digital mental health practices at an unprecedented pace . TeleheaIn the early phase of the COVID-19 pandemic, detoxification services needed to adapt the management and delivery processes of their activities. However, these changes to usual practice came with some drawbacks. Service disruptions and unmet support needs have been recorded as a direct result of the impact of the COVID-19 pandemic , 38, 39.In some cases, the initial adaptation of policies and recommendations to the COVID-19 pandemic significantly deviated from usual care. For instance, in the UK requirements for opioid substitution therapy prescription were relaxed. Drug testing was suspended as a requirement for buprenorphine prescription and, in the case of methadone, limited to individuals without a clear history of opioid use and tolerance and known patients with evidence that opioids have been used in the previous 24\u00a0h . In-persAs the pandemic has progressed, focus has shifted from immediate management and reduction of transmission to prevention via licensed COVID-19 vaccines. A key area of concern is vaccine hesitancy, in those with mental health difficulties more generally, and specOur work has some potential limitations. The search process was restricted to English language sources to synthesise available guidance from a list of English-speaking countries. The recommended resources in this paper are primarily limited to the UK and USA, whilst laws and policies regarding the treatment of and resources for people with SUD may differ between countries. For instance, this is indeed the case with regards to the treatment of opioid use disorder. Nonetheless, given the global nature of the COVID-19 pandemic, international collaborators have produced translations of our synthesis of guidance in several foreign languages and adapted it for local use , 13. SinSubstance and alcohol misuse services had to rapidly and profoundly change to limit disruptions for service users and, where possible, continue the treatments previously in place. At the same time, the demand for services increased. More than 8 million adults in the UK are drinking at high risk, and a surge in the number of people addicted to opiates seeking help have been recorded . Mental In the initial phase of the COVID-19 pandemic, regulatory agencies and professional bodies quickly provided guidance to address urgent issues. This rapid response was inherently based on limited evidence and resulted in several different approaches. Some sources of guidance were more conservative and limited to generic recommendations, whilst others suggested temporary amendments of pre-COVID-19 guidelines. Since then, a vast volume of scientific literature has been published on COVID-19, which present the opposite challenge of quickly synthesising available evidence. Future guidance should shift focus from acute restrictions to longer term management, such as the implementation of a comprehensive vaccination programme with equitable access and managing the mental health consequences of COVID-19. To do so, guidelines should source their recommendations from the growing body of literature by leveraging newly developed frameworks to provide up-to-date syntheses of the available evidence .Additional file 1.Additional file 2."}
+{"text": "As of early May 2021, there have been more than 4.67 million cases of coronavirus disease 2019 (COVID-19) and nearly 126,000 deaths reported in Africa.American Journal of Tropical Medicine and Hygiene.To understand COVID-19 knowledge, attitudes, and practices and their impacts on health, nutrition, and education, the Africa Research, Implementation Science, and Education (ARISE) Network conducted a telephone survey at six sites in Burkina Faso, Ethiopia, and Nigeria between July and November 2020.,,There have been wide variations in the levels of knowledge of COVID-19 symptoms and modes of transmission among adolescents, adults, and healthcare workers. Although the level of knowledge of common symptoms and the perception of personal risk of severe acute respiratory syndrome coronavirus 2 (SARS-CoV-2) infection were relatively low among adolescents, prevention approaches were commonly practiced.These surveys revealed many worrisome findings. The majority of adolescents had greatly decreased communication with family and friends, were no longer attending school because of closures, could not continue their education during the pandemic, and anticipated not being able to catch-up with what they missed after the pandemic.In addition to the adverse effects on education and food security, the survey found partial or complete interruptions in the delivery of basic maternal and child healthcare services, including pediatric immunization services, vitamin A supplementation, and access to preventive nutrition services and malnutrition treatment.Although these studies had several limitations, including differences in consent processes between countries (in-person informed consent was required in Ethiopia but not elsewhere), a lack of generalizability beyond the study communities, variations in sampling frameworks across the study locations, and the availability of completed surveys only from willing individuals with mobile telephones, there were also several strengths. Diverse samples of the general population in rural and urban areas were recruited across three countries, there was a focus on the impact on adolescent health and education, and data were disaggregated by age and sex. Additionally, mobile telephone surveys represent a potentially low-cost strategy for data collection in contrast to in-person household surveys.This three-country telephone survey revealed varying levels of knowledge of COVID-19 symptoms and how this disease is transmitted, although most adults and healthcare workers reported using effective preventive measures. However, the more concerning findings were related to the negative adverse effects of the COVID-19 pandemic on routine health services, access to education for adolescents, and food security and dietary diversity. The short-term impacts of undernutrition and impaired access to basic healthcare for children, adolescents, and adults are likely to be substantial. These problems are likely to be further exacerbated by the ongoing second wave of the pandemic, which appears to be more severe in sub-Saharan Africa. The combination of food insecurity leading to undernutrition and major challenges regarding completing education may have long-term negative effects on adolescents and younger children who may be greatly impacted by food insecurity and reduced dietary diversity in terms of their future health, nutritional status, and potential for economic development."}
+{"text": "The Omnibus Budget Reconciliation Act (OBRA) of 1987 included provisions for the Preadmission Screening and Resident Review (PASRR) program, which requires states to create and maintain systems to assess persons with serious mental illness (SMI) seeking NH care. The prevalence of SMI in NHs is increasing, and little is known about the effectiveness of the PASRR program intervention. We conducted 20 interviews with state and national PASRR stakeholders, including assessors, hospital discharge planners, mental health advocates, geriatricians and geriatric psychiatrists. Interview data were triangulated with state provided materials on PASRR collection and implementation. Based on these interviews, we identified four themes: 1) variation in the implementation of federal PASRR legislation across states and jurisdictions, 2) the need for investment in professional development and workforce capacity, 3) lack of usefulness of PASRR in ongoing care planning, and 4) the need to consider the role of age, race/ethnicity, and stigma on quality of care for NH residents with SMI. Stakeholders agree that PASRR legislation was well intentioned, but also expressed concern regarding the completion of PASRR as an issue of compliance versus meaningful assessment. More work is needed to determine how best to develop and support the care needs of people with SMI, while being mindful of the original goals of deinstitutionalization that prompted OBRA passage. In order to assess the impact of the PASRR program on quality of care and mental health outcomes, further research should take an evaluative approach through meaningful use of PASRR data."}
+{"text": "IUCrJ.Henry Chapman and Xiaodong Zou have recently been appointed as Main Editors of IUCrJ. Henry Chapman, who was already a Co-editor of IUCrJ, will succeed the late John Spence in leading the journal section on Physics and Free Electron Laser Science and Technology. Xiaodong Zou will lead a new section on Electron Crystallography, which will act as a home within the IUCr journals for high-quality, high-impact papers in this field. We are assembling a team of Co-editors to work with Xiaodong Zou and details of this section will be provided in the next issue of IUCrJ.Henry Chapman of the Center for Free-Electron Laser Science, Deutsches Elektronen-Synchrotron DESY, and Xiaodong Zou of the Department of Materials and Environmental Chemistry, Stockholm University, have recently been appointed as Main Editors of Henry Chapman is a physicist who is a world leader in exploiting modern high-brightness X-ray sources for high-resolution structure determination and imaging of soft matter or biological systems. His work in developing experimental methods and analysis for coherent diffractive imaging of non-periodic objects includes the first experimental demonstration of X-ray ptychography, as well as his pioneering work in serial femtosecond crystallography. His international status in these FELS fields also includes his association with multiple world-class high-brightness coherent X-ray source developments around the world. Henry completed his PhD in 1992 at The University of Melbourne, Australia, for which he was awarded the Bragg Gold Medal from the Australian Institute of Physics. He explored lensless X-ray imaging at Stony Brook University , and first demonstrated X-ray flash imaging while at Lawrence Livermore National Laboratory in California where he also contributed to the development of extreme ultraviolet lithography. He joined DESY and the University in Hamburg in 2007 as a founding director of the Center for Free-Electron Laser Science. He was awarded the Leibniz Prize of the German Research Foundation (DFG), the Roentgen Medal, and an honorary doctorate of Uppsala University, and is a Fellow of the Royal Society (FRS).Xiaodong Zou is a leading expert in electron crystallography and porous materials. Her research interests have been developments of electron crystallographic methods and design of novel porous materials. She is one of the pioneers in establishing electron crystallography as an important technique for accurate atomic structure determination of unknown 3D crystals. Her group has demonstrated the power of electron crystallography in studying complex structures including zeolites, metal-organic frameworks, pharmaceuticals and proteins. Professor Zou has also made key contributions in design, synthesis and applications of novel zeolites and metal-organic frameworks. Xiaodong is a full professor in structural chemistry and deputy head of the Department of Materials and Environmental Chemistry, Stockholm University. She received her BSc in Physics at Peking University in 1984, and PhD in structural chemistry at Stockholm University in 1995. One of her main research interests is method development for accurate atomic structure determination of nano-sized crystals by electron crystallography. Her group has solved a number of complex structures of zeolites and mesoporous crystals by transmission electron microscopy. She is also working on synthesis, structure determination, topology analysis and applications of inorganic open-framework materials and metal-organic frameworks. She has received several prestigious awards given by the Royal Swedish Academy of Sciences. She is an elected member of the Royal Swedish Academy of Sciences (KVA), member of the Royal Swedish Academy of Engineering Sciences (IVA), Fellow of the Royal Chemical Society (FRCS) and council member of the International Zeolite Association."}
+{"text": "Healthy ageing has become a popular topic worldwide. We investigated the role of sleep, leisure activities, and socioeconomic inequalities in relation to cognitive decline, wellbeing, and quality of life in data from the English Longitudinal Study of Ageing (ELSA), Chinese Health and Retirement Longitudinal Study (CHARLS), and Japanese Study of Aging and Retirement (JSTAR), national representative samples of England, China and Japan, respectively. We found an inverted U-shaped association between sleep quality and memory in English adults and a positive dose-response association in Chinese older adults (Brocklebank). In another examination, we found that younger English individuals playing games had lower quality-of-life than older participants who game, and this association is more pronounced for widowed individuals than others (Almeida-Meza). Cognitive impairment and dementia represent significant challenges worldwide. In a cross-country investigation, we found that the prevalence of MCI was twice as great in England compared with Japan, but that the two nations differ slightly across socioeconomic correlates (Gireesh). In another cross-country comparison between England and China, we found that the rate of memory change appeared socioeconomically patterned, primarily by education and area-based characteristics , with a more substantial impact on rural China inequalities compared to England (Cadar). Our results indicate more robust educational and geographical disparities in China and increased occupational impact among English and Japanese participants. Our findings highlight the imperative need for policy interventions and tailored strategies to protect those particularly disadvantaged in England and China."}
+{"text": "Mortality burden in South Africa since the mid-1990s has been characterized by a quadruple disease burden: HIV/AIDS and tuberculosis (TB); other communicable diseases (excluding HIV/AIDS and TB), maternal causes, perinatal conditions and nutritional deficiencies; non-communicable diseases (NCDs); and injuries. Causes from these broad groupings have persistently constituted the top 10 causes of death. However, proportions and rankings have varied over time, alongside overall mortality levels.To provide evidence on the contributions of age and cause-of-death to changes in mortality levels in a rural South African population over a quarter century (1993\u20132018).Using mortality and cause-of-death data from the Agincourt Health and Socio-Demographic Surveillance System (HDSS), we derive estimates of the distribution of deaths by cause, and hazards of death by age, sex, and time period, 1993\u20132018. We derive estimates of life expectancies at birth and years of life expectancy gained at age 15 if most common causes of death were deleted. We compare mortality indicators and cause-of-death trends from the Agincourt HDSS with South African national indicators generated from publicly available datasets.Mortality and cause-of-death transition reveals that overall mortality levels have returned to pre-HIV epidemic levels. In recent years, the concentration of mortality has shifted towards older ages, and the mortality burden from cardiovascular diseases and other chronic NCDs are more prominent as people living with HIV/AIDS access ART and live longer. Changes in life expectancy at birth, distribution of deaths by age, and major cause-of-death categories in the Agincourt population follow a similar pattern to the South African population.The Agincourt HDSS provides critical information about general mortality, cause-of-death, and age patterns in rural South Africa. Realigning and strengthening the South African public health and healthcare systems is needed to concurrently cater for the prevention, control, and treatment of multiple disease conditions. Ongoing characterization of mortality and disease patterns is required in different settings in order to set locally relevant health and development priorities, identify critical elements for strengthening of health systems, and determine the focus of health services and programmes. During the first half of the twentieth century, populations in high-income countries moved from periods of high, fluctuating mortality rates dominated by epidemics of infectious diseases, famines, and wars to periods of progressive reductions in mortality rates and the emergence of degenerative diseases as the major causes of morbidity and death . They suIn South Africa, overall mortality levels were declining, and life expectancy was steadily improving from the 1960s until the early 1990s . From thThe dramatic increases in overall mortality and reductions in life expectancy from the mid-1990s to the mid-2000s were driven mostly by increases in mortality caused by the HIV/AIDS epidemic and lack of treatment programmes ,23\u201325. AWe used mortality and cause of death data collected from 1993 to 2018 as part of annual updates of vital events of the population of the Agincourt Health and Socio-Demographic Surveillance System (HDSS) in rural northeast South Africa ,28. SimiThe most probable cause-of-death was generated using the InterVA-5 probabilistic model (version 5.1) . For eacUsing the person-year file, we estimated the hazards of death by age, sex and time-period using logistic regression models . ThereafWe split the calendar years into the following time periods: 1993\u20131997, 1998\u20132000, 2001\u20132003, 2004\u20132007, 2008\u20132010, 2011\u20132013, 2014\u20132016 and 2017\u20132018 to contextualize the dynamics of the HIV epidemic and the rollout of prevention of mother-to-child transmission (PMTCT) and antiretroviral treatment (ART) services. Where possible, we compared the indicators of mortality and cause-of-death trends from Agincourt with South African national indicators generated from publicly available datasets as a way of assessing the generalizability of our findings. We compared estimates of life expectancy at birth from the Agincourt HDSS with estimates of life expectancy at birth for South Africa obtained from the World Bank data archive . We alsoAll analyses have been conducted using Stata version 14.1 .A total of 17 934 deaths were recorded in 2 210 631 person-years of follow-up in the Agincourt HDSS surveillance population over the period 1993\u20132018. Panel (a) of Trends in mortality levels in children under the age of 5 years show progressive increases between 1993\u20131997 and 2001\u20132003 and decreases thereafter (Panel (b) of Trends in life expectancy at birth exhibit a similar pattern to trends in overall mortality for both males and females (Panel (d) of Panel (d) of Owing to the significant contribution of HIV/AIDS and TB to the mortality profiles of the Agincourt HDSS population in the last two and a half decades, Building on the finding that cardiovascular diseases have progressively gained prominence among the leading causes of death, A clear understanding of the levels and patterns of mortality and diseases in different sub-populations is continuously needed in order to formulate and implement locally relevant policies and programs to improve population health. However, effective responses to this need for populations in the most resource-poor settings are hampered by a lack of comprehensive, reliable, population-based data on health risks, exposures, and outcomes. One of the viable alternatives to addressing this lack of data has been the establishment of HDSSs in some resource-poor settings. HDSSs enumerate populations in geographically well-defined areas and prospectively collect detailed information on the core components of population change as well as complementary information on health, social and economic indicators . In thisUnlike prior research ,30,54,55While there have been impressive reductions in mortality levels in Agincourt since 2007, the COVID-19 pandemic that has been underway in South Africa since March 2020 may well induce some reversal through both direct and indirect mortality, the latter resulting from reduced provision and utilization of health service for NCDs, HIV/AIDS, TB, antenatal care and vaccine-preventable diseases in children under 5\u00a0years . The extA previous study showed broad similarity in major cause of death categories despite low agreement of cause attribution at the individual level between the causes of death in the South African national data that are determined from death notification forms (Form BI-1663) completed by clinicians or death reports (Form BI-1680) completed by authorised traditional leaders when clinicians are not available, and causes of death in the Agincourt HDSS population determined from verbal autopsies using the InterVA model . The strThis study has a number of limitations. First, the sensitivity of our findings to different computer-based models for assigning causes of death other than the InterVA model, such as Tariff and InSi61Our findings show that the population in Agincourt, a rural area of South Africa adjacent to southern Mozambique, has experienced significant shifts in mortality levels and the associated contributions of age and various causes of death over a quarter century of tremendous health, population and social change. The findings also illustrate that the general mortality and cause of death transition experienced in the Agincourt area largely reflects the mortality, age, and cause of death transition experienced in South Africa, although the magnitudes may differ from one setting to the other. Most importantly, the mortality and cause-of-death transition presented in this paper highlights the increased importance of CVD and other chronic NCDs as leading causes of death in recent years as more people living with HIV/AIDS access ART and attain prolonged survival. Therefore, there is a need for realigning and strengthening of the public health and healthcare systems in South Africa to concurrently cater for the prevention, control, and treatment of multiple disease conditions."}
+{"text": "The aim of the present study was to provide an overview of gingival crevicular fluid (GCF) bone turnover markers (BTMs) concerning the physiology of orthodontic tooth movement (OTM) and assess their potential contributions to regulating bone remodeling, that could prove useful in designing future approaches to modulating orthodontic tooth movement.Multiple electronic databases were searched up to October 1st, 2020. Randomized controlled trials (RCTs), controlled clinical trials, observational studies of prospective and retrospective designs, and cross-sectional studies reporting on levels of BTMs in GCF were eligible for inclusion. The quality of the included RCTs was assessed per the revised Cochrane risk of bias tool for randomized trials (RoB 2.0), whereas the risk of bias of the included cohort studies was assessed using the Risk Of Bias In Non-randomized Studies of Interventions tool.Five RCTs, 9 prospective cohort studies, and 1 cross-sectional study fulfilled the inclusion criteria. The risk of bias was deemed as high for the RCTs and 4 of the prospective studies and moderate for the rest of the studies. The following biomarkers for bone formation were assessed: bone alcaline phosphatase (BALP), alcaline phosphatase (ALP), and osteocalcin (OC). For bone resorption, the following BTMs were assessed: deoxypyridinoline (DPD) and pyridinoline (PYD), N-terminal telopeptide (NTX), osteopontin (OPN), and tartrate-resistant acid phosphatase (TRAP). The follow-up period ranged mainly from baseline to 45 days, although one study had an expanded follow-up period of up to 16 months. The results of the included studies comparing different BTMs were heterogeneous and qualitatively reported.Current evidence continues to support the potential for BTMs to provide clinically useful information particularly for adjusting or standardizing the orthodontic stimulus. The present systematic review has retrieved studies of high, overall, risk of bias, and has unveiled a substantial clinical and methodological heterogeneity among included studies. Further data of the relationships between the clinical assays and the physiological or pre-analytical factors contributing to variability in BTMs\u2019 concentrations are required.CRD42020212056.The online version contains supplementary material available at 10.1186/s13643-021-01860-w. Orthodontic tooth movement (OTM), as a biological process, encompasses a series of histological and biochemical reactions ; these lA reflection of these phenomena can be found in the gingival crevicular fluid (GCF) of moving teeth, with significant elevations in the concentrations of its components. The noninvasive nature and the convenience of repetitive sampling of GCF are considered of great importance for identifying the periodontal changes followed by orthodontic force application .There are three main methods of collecting GCF: (a) the gingival washing technique, which consists of perfusing the GCF with an isotonic solution of fixed volume; the fluid collected represents a dilution of crevicular fluid, containing cells and soluble constituents, as plasma proteins; (b) insertion of capillary tubes, with specific diameter, into the entrance of the gingival crevice; the fluid then migrates into the tube by capillary action. (c) The most common method, however, of collecting GCF is with the use of absorbent sterilized paper strips. The paper strips are inserted into the gingival crevice and left in situ for 5 to 60 s to allow the GCF to be adsorbed by the paper .Several substances can be collected from GCF and are considered biomarkers. The term \u2018biomarker\u2019 depicts a substance that is measured and evaluated objectively as an indicator of normal biological processes, pathological processes, or pharmacological responses to a therapeutic intervention .Numerous protein or protein derivative biomarkers are released during bone remodeling by osteoblasts or osteoclasts and are generally described under the term of bone turnover markers (BTMs) . BTMs laBTMs have been studied for over 30 years, and they are separated into two groups: markers of bone formation , osteocalcin (OC), and bone alkaline phosphatase (BALP)) and markers of bone resorption and N-terminal telopeptide of type I collagen (NTX)) . HoweverIn orthodontics, biomarkers related to bone turnover may introduce new possibilities for understanding bone growth and remodeling. Knowledge of the ongoing process occurring in periodontal tissues during orthodontic and orthopaedic therapies can lead to proper choice of mechanical loading with the aim of shortening the period of treatment and avoiding adverse effects associated with orthodontic treatment .The aim of the present study was to provide insights into possible GCF BTMs concerning the physiology of orthodontic tooth movement and assess their potential contributions to regulating orthodontic processes that could prove useful in designing future approaches to modulating orthodontic tooth movement.The latest (2021) Preferred Reporting Items for Systematic Reviews and Meta-Analyses (PRISMA) were adopted throughout the process of the present systematic review , 10.Participants (Population):orthodontic patients of any age and sex.Intervention: any type of removable or fixed orthodontic appliance resulting in OTM.Comparisons: any control group was accepted ).Outcomes: quantitative and qualitative analyses of bone remodeling biomarkers detected in GCF; measurement units were nanograms per microlitre (ng/\u03bcl), international units per microlitre (IU/\u03bcl), units per milligram (U/mg), picograms per millilitre (pg/ml), and milliunits per sample (mU/sample). Receptor activators or mediators not considered as exclusive bone remodeling biomarkers were excluded. Follow-up: All observation periods were accepted.Study design: Any study design was considered eligible for inclusion in this review, including randomized clinical trials (RCTs), non-randomized or quasi-randomized controlled trials, and prospective and retrospective studies.Exclusion criteria: animal and in-vitro studies, case reports or studies reporting less than 5 patients, studies including patients with systemic disorders affecting periodontal and orthodontic therapy, preclinical studies/ abstracts/ letters to editors/ narrative reviews, insufficient/unclear information not allowing data extraction, and no author response to inquiry email for data clarification.Detailed search strategies were developed and appropriately revised for each database, considering the differences in controlled vocabulary and syntax rules by the last author (DK). No language or publication date restrictions were applied.The Cochrane Central Register of Controlled Trials (CENTRAL) ;MEDLINE (PubMed) ;Ovid MEDLINE ;Ovid Embase ;LILACS On October 1st, 2020, we updated and searched the following electronic databases to find reports of relevant published studies:The search strategy of all databases is shown in Additional files http://www.clinicaltrials.gov), the multidisciplinary European database (http://www.opengrey.eu), the National Research Register, and Pro-Quest Dissertation Abstracts and Thesis databases (https://about.proquest.com).In order to further identify potential articles for inclusion, grey literature was searched in the register of clinical studies hosted by the US National Institutes of Health , who were not blinded to the identity of the authors of the studies, their institutions, or the results of their research. Study selection procedure comprised of title-reading, abstract-reading, and full-text\u2013reading stages. After exclusion of non-eligible studies, the full report of publications considered by either author as eligible for inclusion was obtained and assessed independently. Disagreements were resolved by discussion and consultation with the third author of the review (IS). A record of all decisions on study identification was kept.The first two authors (LK and IG) performed data extraction independently and in duplicate. Disagreements were resolved by discussion with the last author (DK). Specifically designed Excel collection forms were used to record the desired information. Data extraction was piloted in five random included papers between the two first authors. The following data were collected: author/title/year of study, design of study, number/age/gender of patients recruited, type of orthodontic treatment, method of GCF collection, tooth site of GCF collection, control group, observation period (follow-up of patients), changes of biomarkers in GCF, biological consequence, and clinical significance.If stated, the sources of funding, trial registration, and publishing of the trial\u2019s protocol was recorded. This information was used to aid assessment of heterogeneity and the external validity of the included studies. In case of missing data, it was attempted to contact the corresponding author. Studies without enough data for meta-analyses were kept in the systematic review, but excluded from the meta-analyses.The methodological quality of all included studies was assessed by the first two review authors (LK and IG) independently and in duplicate. For interventional, randomized controlled trials (RCTs), the Risk of Bias 2.0 tool was used . For intMeta-analyses would have been conducted if included studies reported similar interventions and comparable outcomes in homogeneous population (i.e. in the case of limited heterogeneity). For continuous variables, mean differences and standard deviations would be used to summarize the data from each study. For dichotomous data, number of participants with events and total number of participants in experimental and control groups would be analyzed. Regarding meta-analysis for dichotomous data, risk ratios and their 95% confidence intervals (Cls) would be calculated. For continuous data, mean differences and 95% Cls would be calculated.2 test and the I2 statistic.Clinical and methodological heterogeneity were assessed by examining the characteristics of the studies, the similarity between the types of participants, the interventions, and the outcomes as specified in the inclusion criteria for considering studies for this review. Statistical heterogeneity would have been assessed using a ChiReporting biases arise when the reporting of research findings is affected by the nature or direction of the findings themselves . PotentiAs no sufficient data existed, subgroup analyses based on study characteristics or sensitivity analysis based on the risk of bias were not conducted.We anticipated that some of the included studies presented data from repeated observations on participants, which could lead to unit-of-analysis errors. In such cases, we followed the advice provided in section 9.3.4 of the Cochrane Handbook for Systematic Reviews of Interventions : we woulIn total, 1051 studies were identified from the electronic searches as relevant. After exclusion of all duplicates and assessment of the title and abstract of the reports, 64 studies were considered eligible for inclusion in this review. Out of the 64 studies, another 49 studies were excluded after full-text assessment, leaving 15 studies fulfilling the inclusion criteria , according to the Newcastle-Ottawa Quality assessment scale , alcaline phosphatase (ALP), and osteocalcin (OC).The following biomarkers for bone resorption were assessed: deoxypyridinoline (DPD) and pyridinoline (PYD), N-terminal telopeptide (NTX), osteopontin (OPN), and tartrate-resistant acid phosphatase (TRAP). The follow-up period ranged mainly from baseline to 45 days. One study had an expanded follow-up period of up to 16 months and alcaline phosphatase (ALP)\u0392ALP was examined in one study . AlthougOsteocalcin (OC)OC was assessed in 4 out of 55 studies , 26, 29.Deoxypyridinoline (DPD) and pyridinoline (PYD)DPD was evaluated in two studies , 29. AccN-terminal telopeptide (NTX)NTX was investigated in 2 out of 5 studies , 26. AlfHowever, in the Isik et al. study, NTX values were found to be below the detection limit with a few readings which showed large variations between subjects and stages of tooth movement .Osteopontin (OPN)OPN was investigated in 4 studies , 21, 22.Tartrate-resistant acid phosphatase (TRAP)TRAP was detected only in one study . In the The aim of the present systematic review was to provide an updated summary of the available evidence regarding the collection of biomarkers in GCF, so as to guide and facilitate future research projects. The included studies demonstrated high heterogeneity, regarding methodological, clinical, and statistical issues. Clinical heterogeneity among studies included considerable variations in participants as well as in interventions , whereas the diversity in the measurement units of the biomarkers indicated considerable methodological heterogeneity. The aforementioned forms of heterogeneity precluded the possibility for a valid meta-analysis.The inclusion criteria for most of the studies were good general health, no history of antibiotic therapy during the previous months or anti-inflammatory drug use within 1 month before GCF collection in periodontally healthy nonsmokers. One week to 1 month prior to GCF collection, the participants underwent a session of professional supra- and sub-gingival scaling and also received repeated oral hygiene instructions , 27.Most studies evaluated the biomarkers in GCF samples before, during, and after canine distalization in cases of first premolar extractions , 27, 29 Isolation of the sites of GCF collection (most often with cotton rolls),Method of GCF collection ,Depth insertion of paper strips,One single or repeated measurements,Time that paper strips remain inside the gingival sulcus (e.g. 30 or 60 s),Time slot of the day for the collection,Incubation solution which was used for the GCF sample ,Biochemical assay used for the analysis of biomarkers .There was no agreement between the studies regarding GCF sample collection and management. Several differences were identified during the following stages:The fluctuation of the levels of biomarkers in GCF is suggestive of underlying intricate biological remodeling processes in bone and periodontal tissues related to OTM . MechaniThe increase of these pro-inflammatory cytokines results in chronic leukocyte recruitment and tissue destruction and seems to play a crucial role in periodontal remodeling during tooth movement, preventing pathological destruction of the bone and PDL . The amoIn the past two decades, there has been significant interest in the development of noninvasive oral and systemic diagnostic biomarkers by large-scale protein analysis. Whole saliva, parotid secretions, and GCF samples have been collected for diagnostic biomarker discovery. The notion to use GCF as a source of diagnostic biomarker is not uncommon; however, the possibility of using a panel of independent disease-related proteins has recently emerged. In this respect, the ability to highlight a large number of proteins with local tissue/cell specificity and to define their relative levels in health versus disease have become of major interest.The use of BTMs for the monitoring of treatment requires a baseline assessment with a repeat measurement at some defined point during orthodontic treatment. In order to do this effectively, it is important to assess the expected level of alteration. Thus, it is important to monitor treatment effect in the individual, the imprecision of the measurement, as well as the intra-individual variability which may be influenced by factors such as timetable of sampling, fasting status, adherence to instructions, etc..Some limitations do exist in the present review. Ideally, only randomized trials with control groups would be included in this review. However, due to the scarcity of available studies in the field, non-randomized designs were also considered for eligibility. Inter-rater reliability during data extraction was not tested; nevertheless, this has probably low impact as consensus was reached with the last author, when needed. The lack of blinding and generally the methodological heterogeneity in the included studies may have also introduced uncertainty in the results. However, the main strength of this review is that it gathers information about GCF collection and BTM values so that the future studies can be conducted under standardized conditions, with the sole purpose of using BTM in regulating orthodontic tooth movement.The diversity in expressing the released quantities and the use of different units hindered this review. To allow unequivocal interpretation and comparison between different studies, it is recommended to express quantitative release data in standardized units. The use of internationally agreed decision limits and target values for these markers requires that measurements are universally comparable. Standardization and establishment of a reference system for the BTMs is the route to achieve this , 37.The limits for detection/quantification of each analyzed eluate are essential for the interpretation of the results, and should therefore always be mentioned. Compounds that could not be detected, may still have been released, but in concentrations below the detection limit. It would thus not be correct to assume that they are not released in the GCF.Contamination may lead to false-positive detection of compounds, and great care should be taken to avoid any contamination. All studies should report if the necessary measures were taken in order for contamination from saliva to be avoided.In summary, the available studies relating BTM changes after an orthodontic stimulus are promising. Based on the results of this literature review, several guidelines for standardization may be suggested:Too often, the materials and methods failed to mention necessary information about the GCF collection procedure. Information such as the volume of incubation solution, the percentage of solvent in case of dilutions, the pH of the solution, and the brand of paper strips should be always stated.As BTMs may show significant responses to the orthodontic treatment, their response to treatment may allow the best choice of a possible future chemical or pharmacological agent. They may also help with the proof of principle and help establish the mechanism of action. This could potentially alter the actual orthodontic treatment modalities.Current evidence continues to support the potential for BTMs to provide clinically useful information particularly for adjusting or standardizing the orthodontic stimulus, and in the future for modulating the orthodontic tooth movement. The present systematic review has retrieved studies of high, overall, risk of bias, and has unveiled a substantial clinical and methodological heterogeneity among included studies. Further data of the relationships between the clinical assays and the physiological or pre-analytical factors contributing to variability in BTMs\u2019 concentrations are required.The review protocol was specified in advance and registered at PROSPERO , No. CRD42020212056.Additional file 1. PRISMA 2020 for Abstracts Checklist.Additional file 2. PRISMA 2020 Checklist.Additional file 3 Search strategy, MEDLINE/PubMed, assessed as up to date: 01.09.2020.Additional file 4. LILACS, Cochrane Library, MEDLINE, and Embase search strategies.Additional file 5. List of excluded studies."}
+{"text": "A growing body of evidence suggests that nucleus accumbens (NAc) plays a significant role not only in the physiological processes associated with reward and satisfaction but also in many diseases of the central nervous system. Summary of the current state of knowledge on the morphological and functional basis of such a diverse function of this structure may be a good starting point for further basic and clinical research. The NAc is a part of the brain reward system (BRS) characterized by multilevel organization, extensive connections, and several neurotransmitter systems. The unique role of NAc in the BRS is a result of: (1) hierarchical connections with the other brain areas, (2) a well-developed morphological and functional plasticity regulating short- and long-term synaptic potentiation and signalling pathways, (3) cooperation among several neurotransmitter systems, and (4) a supportive role of neuroglia involved in both physiological and pathological processes. Understanding the complex function of NAc is possible by combining the results of morphological studies with molecular, genetic, and behavioral data. In this review, we present the current views on the NAc function in physiological conditions, emphasizing the role of its connections, neuroplasticity processes, and neurotransmitter systems. A group of morphologically and functionally related brain structures receiving and interpreting stimuli associated with satisfaction, positive feeling, and addiction is commonly defined as the brain reward system (BRS). This system consists of subcortical mesolimbic structures, such as the nucleus accumbens (NAc), ventral tegmental area (VTA), amygdala (Amg), striatum (Str), and septum (Spt). It also includes several meso-corticolimbic regions, such as the hippocampus (Hip), prefrontal cortex (PFC), para-hippocampal, entorhinal, and motor function-related cortical areas . NAc is NAc contains predominantly small and medium-sized spiny neurons (MSNs) ,8. AmongEach part of NAc, namely shell and core, has different molecular characteristics considering the type of released neurotransmitters and their receptors. Levels of neurotransmitters, such as dopamine (DA), serotonin (5-HT), and norepinephrine (NE) are different in the two parts of NAc ,13. WhilIn humans, the concentration of NE is different in various portions of NAc. Tong et al. reported three-fold higher concentration of this neurotransmitter in the caudomedial portion than in its caudolateral part, and 12-fold higher in the caudal fragment compared to the rostral . DA leveApart from the internal functional specialization within NAc, high concentrations of NE and DA in the same area may suggest an interrelationship between both neurotransmitter systems and their reciprocal modulatory function upon controlled processes. On the other hand, the 5-HT content is higher in the shell compared to the core, although its utilization is greater in the latter . High leThe degree of morphological differentiation of neurons in NAc, their molecular characteristics, as well as the development of their spino-dendritic system determine the optimal adaptation of this brain structure to the integrative function which it plays within the BRS.A functionally important feature of NAc is its extensive system of connections with numerous brain areas. These can be divided into structural levels of cortical, hemispheric subcortical, diencephalic, and brain stem areas b. This hSignificant differences in the topography of connections between the two parts of NAc can be explained by their functional diversity 2,3,4].,3,4.2,3,The target areas of projections originating from the shell are limbic structures, such as extended Amg (Amgex), Spt, basal forebrain (BF), ventral pallidum (VP), and diencephalic areas involved in the regulation of vegetative and limbic functions, such as lateral preoptic area (LPa), lateral hypothalamus (LHTh), and lateral habenular nucleus (LHn) ,3,4. TheThe NAc core is a source of efferent projections targeting areas of the basal ganglia related to the limbic and motor systems, e.g., VP, external and internal parts of globus pallidus . Neurons located in the core also project to pars reticulata of substantia nigra (SNpr) ,6,30.Altogether, both parts of NAc have extensive ascending and descending connections which allow this nucleus activity to be coordinated with several cortical areas related to the association, limbic and projection functions 27]. Th. Th27]. The role of NAc as an important integrating center in the elaboration of behavioral reactions of the limbic, motor and vegetative systems is possible due to projection pathways using several neurotransmitters, of which DA, Glu and GABA could be considered as of primary importance, although serotoninergic and noradrenergic projections also contribute to the specific NAc functions.Numerous studies indicate a crucial role of receptors representing all the main neurotransmitter systems in physiological and pathological processes in NAc ,42,43,44The sources of dopaminergic projections that reach the NAc shell and core are VTA and SN, two mesencephalic structures involved in functioning of the limbic and motor systems, respectively ,46,47. WThe DA released in NAc affects many physiological processes. The level of this neurotransmitter increases in this brain area with the reward approaching, which reflects the awaiting state for its achievement. DA in NAc has also a positive effect on motivation for reward-achievement behaviors and reward-driven learning. Finally, it enhances learning of prediction errors, important in planning new adaptive behaviors . RegulatThe modifying effect of DA on synaptic plasticity is based on changes in receptors\u2019 activation and on the stimulating or inhibiting character of their response, changing the probability of neurotransmitter release and cell excitability, as well as on triggering synaptic potentiation or depression . LocatedOne of the most important functions of DA in NAc is its modulatory effect on the processes of short- and long-term homeostatic synaptic plasticity ,60. HoweApart from the essential physiological functions, the dopaminergic system plays fundamental role in development of addiction which isGlutamatergic projections terminating in NAc originate from Hip, Sub, Amg, thalamus (Th), VTA, and from the mPFC and prelimbic cortical areas ,72,73,74Action of Glu on NAc is associated mainly with the development of LTP ,80. HoweActivation of different types of glutamatergic receptors in NAc induces the development of dendritic spines in the MSNs. During maturation, they go through the stage of \u201csilent\u201d synapses with NMDARs, but not AMPARs . Later oAs mentioned before, the mechanism of drug addiction is associated with the modification of iGluRs , which is based on changes in their number and function . First-tAltogether, the role of glutamatergic projection in the functioning of NAc involves various types of receptors, although the contribution of AMPARs and NMDARs is probably the most significant. Changes in the expression of these receptors correlate with morphological modifications of the spino-dendritic system, contributing to the development of synaptic plasticity and playing an important role in the processes of both short- and long-term synaptic potentiation.The main target of GABA-ergic projection from NAc is pallidum (predominantly VP) ,32,98. OThe role of GABA-ergic projection and relevant receptors, necessary for the functioning of NAc and the whole BRS, have been raised in several excellent publications ,42. AmonSome evidence suggests the presence of functionally diverse GABA pools in the axonal endings of neurons in NAc . Newly sThe GABA-ergic receptors play an important role in controlling Glu release in NAc . The parGABARs also play a significant role in the regulation of mechanisms related to the consequences of alcohol consumption. The reinforcing effect of ethanol in the NAc\u2019s shell can be modulated by activation of GABAARs and GABABRs, together with 5-HT3 receptors . InteresFurthermore, GABARs play a crucial role in the regulation of addiction processes induced by psychostimulant drugs. For example, activation of GABAARs, but not GABABRs, modulates the reinforcing effects of morphine in NAc . The GABAdditionally, the GABA-ergic system in NAc is involved in alleviating the effects of stress and emotions. Activation of the GABABRs in NAc ameliorates spatial memory impairment after stress exposition , and exeIn summary, GABA-ergic receptors in NAc have important regulatory functions associated with direct inhibition of other cell populations and controlling the release of several neurotransmitters. Regulation of NAc activity via GABA-ergic receptors enables precise control of processes occurring in the BRS.Large projections originating from the small population of neurons concentrated in the raphe nuclei complex deliver 5-HT to the BRS. This monoamine neurotransmitter is involved essentially in all physiological processes controlled by NAc. The 5-HT function in this brain area depends on the dynamic balance between other neurotransmitters\u2019 systems and concentrations of the relevant neurotransmitters. One of the important functions of 5-HT in NAc is its role in motivation. This function is closely related to the facilitating activity of DA. Impairment of interactions between the serotoninergic and dopaminergic systems may result in anhedonia, lack of motivation, and finally in depression . InteresAnother important function of 5-HT in NAc is the regulation of prosocial interactions and behaviors, which is closely related to the rewarding effect of such interactions . AdditioThe role of 5-HT in NAc is also associated with the reinforcing effect of ethanol. This effect is further enhanced by DA release, which leads to an increased reward experience and impulsivity. In combination with some drugs, such as mephedrone, 5-HT and DA can increase the susceptibility to alcohol abuse, due to their increased release in NAc and mPFC . The incThe serotonergic system has a complex influence on NAc. This is due to the large number of receptors, their distribution on many types of cells, and to the use of several neurotransmitters. Among different types of receptors, at least two representing the 5-HT2R group play an important role in control of addiction mechanisms. Taking into account the fact that development of addiction is associated with an increase in DA released in the NAc, it has been suggested that the role of these receptors is based on a regulation of the DA concentration . They caApart from the aforementioned agonists and antagonists of the serotonergic receptors, other drugs such as partial agonists of serotonergic receptors, inhibitors of the 5-HT transporters and multiple neurotransmitter uptake inhibitors also act on the serotonergic system ,145. TheIn addition to all the above-mentioned functions, 5-HT also plays a regulatory role in the metabolic processes in NAc, leading to an increase in glucose blood levels . StudiesAlthough stimulation of different types of 5-HT receptors in NAc can enhance the effect of some addictive substances such as alcohol, stimulation of other types of receptor in this brain area leads, paradoxically, to a lower likelihood of addiction in response to the other psychostimulants ,126. TheNE, as one of the most important brain neurotransmitters, is also represented in the BRS. Its sources are neurons localized in TegB, mostly in LC. Extensive projections of this relatively small population of neurons allow the distribution of NE to almost all brain regions. Under stressful and rewarding stimuli, NE is released in NAc and mPFC . The amoAnother study has shown that cocaine administration enhances the release of NE, DA, and 5-HT in NAc . The dynIn addition to the abovementioned functions, increasing evidence points to NE involvement in the mechanism of alcohol addiction. Karkhanis et al. reported that chronic early-life stress resulting from social isolation has an impact on the behavioral risk of alcoholism manifested by a greater tendency to alcohol self-administration . This coAltogether, NE via its action in NAc, as well as in other BRS structures, regulates a wide spectrum of physiological processes and plays a role in the development of addiction. Moreover, cooperation with other neurotransmitters, such as DA or 5-HT, determines the NE action upon NAc and its regulatory role in these processes.NE plays a role in several processes, such as concentration of attention, wakefulness, drug addiction, and psychostimulants relapse. Action of this neurotransmitter within NAc is based mainly on its interaction with the \u03b11-adrenergic receptor (\u03b11AR) . A rare In summary, the release of neurotransmitters in NAc is precisely adjusted to the cause of activation, the goal to be achieved, and the origin of the activated projection. The action of a neurotransmitter depends on its concentration in NAc and its binding to specific receptors. The important role of neurotransmitter receptors the NAc functioning is related to changes in their expression level, subunit composition, and externalization or displacement within the plasma membrane or outside the synapses. The cooperative effect and synergistic action of receptors representing different neurotransmitter systems are critical for motivation, learning, and addiction.The proper functioning of the BRS requires cooperation among all morphological elements of brain tissue. Structural and functional relationships occurring between neuroglia and neurons form the basis not only for processes of motivation and reward-aimed behaviors, but also for the development of addiction and mental diseases . As can 2+ ion-dependent signaling pathways [Astrocytes are an important element of the brain tissue involved, together with neurons, in the regulation of reward and addiction mechanisms . An impopathways ,162. As pathways . Finallyad libitum. On the other hand, an increase in the dendritic spine density correlates with compulsive seeking behavior [Interesting data about the role of microglia in NAc come from animal studies. Microglia activation has been reported in mice fed with a high-caloric chocolate cafeteria diet . Apart fbehavior . In casebehavior . This reOligodendrocytes, like other neuroglial cell subpopulations, play an important role in the BRS, both in physiological conditions and pathology. Their role in myelin metabolism is important for the functioning of the brain tissue. Through controlling myelin metabolism, oligodendrocytes can influence the plasticity processes related to transmission efficiency of excitatory stimuli along the neuronal fibers. Consequently, myelin metabolism seems to be a good indicator of the BRS status during stress or anxiety. Down-regulation of myelin genes and oligodendrocyte-specific genes in NAc and PFC was recorded after four weeks of stress exposure in mice . SimilarAnother important issue represents myelination disorders and changes in myelin synthesis, resulting in impairment of the brain function observed in the course of some mental illnesses. The major depressive disorder (MDD) is associated with changes in the myelin content in several brain regions, but in particular in structures of the limbic system, including NAc . FurtherResults of a postmortem study showed myelination impairment in several brain areas, including NAc, after chronic cocaine abuse . DysreguTo conclude, neuroglia participates in a wide spectrum of processes occurring in NAc and other areas of the BRS. Its role includes modulation of synaptic transmission and signaling pathways within tripartite synapses, as well as regulation of energetic metabolism by astrocytes. It also takes part in the regulation of the BRS activity, through the release of inflammatory mediators by activated microglia. Finally, these cell populations regulate myelin metabolism, expression of oligodendrocyte-specific proteins and, consequently, the efficiency of stimuli conduction along the neuronal fibers. The modifying effect of neuroglia upon the BRS activity (including NAc) involves both physiological processes and a wide spectrum of pathologies associated with addiction, neurodegeneration, and mental illnesses. Further studies on the role of neuroglia in these processes are needed.In the 1980s, Mogenson and colleagues formulated a hypothesis that NAc functions as an interface between the limbic and motor systems . More reDifferences in functioning of the two parts of NAc have previously been reported ,186,187.The core of NAc is involved in responses to motivational stimuli , impulsiLike other brain regions, NAc undergoes characteristic morphological and functional changes during ontogenesis. At the subsequent stages of development, changes in the cellular structure, formation of connections with other brain areas, along with development of neurotransmitter systems and signaling pathways, as well as development of structural and functional plasticity, occur ,201. NumThe action of the above-mentioned factors at different stages of ontogenesis results in development of behavioral disorders and mental dysfunctions either during adolescence or in adulthood. This could be a consequence of an impairment in functioning of the endocrine system , disturbances in the functioning of neurotransmitter systems , as well as changes in the expression of neurotrophic factors and transcription factors ,207,208.During early development, due to an incomplete development of endocrine regulatory mechanisms, stress hormones (glucocorticoids) may be harmful to immature NAc, and induce abnormal behavioral responses ,210. DefAdolescence is the period in NAc development characterized by the final formation of connections, shaping balanced functional relations between neurotransmitter systems, as well as stabilization in the production level of neurotrophic factors and balanced gene expression. In addition, the development of hormonal maturity related to the HPA axis, both in terms of controlling stress reactions and achieved sexual maturity, is important for the functioning of the reward system during that period. Despite these changes, during adolescence there is a greater susceptibility to stressful and aversive stimuli than in adulthood . This caThe susceptibility of NAc to the harmful effects of addictive substances during development can be illustrated by the effects exerted by nicotine. Exposure to this commonly consumed psychostimulant has been linked to NAc impairment. The most important research includes the effects of early exposure to nicotine and its long-term consequences, the effects of nicotine withdrawal during development and adolescence, and mechanisms shaping the reward feeling triggered by nicotine during development. It has been shown that exposure to nicotine already in the fetal period affects the expression of genes of growth factors, death receptors, and some kinases related to the regulation of cell death or survival in adolescence . MaternaNicotine withdrawal has different effects on the functioning of NAc in adolescence as compared to adulthood. Studies have shown that discontinuation of nicotine in juveniles causes less side effects than in adults . This maThere are premises indicating involvement of different mechanisms triggering the reward and satisfaction feelings at various ages . These cAdolescence is a period of development associated with intensive learning, gaining various types of experience, as well as developing a responsiveness to stressful stimuli resulting from action of environmental factors and social interactions . All of Chronic juvenile (pre- and adolescent) stress of different nature has a significant impact on development of many brain areas, including NAc and the prefrontal cortex, important for shaping of the reward processing and the executive functions. Disturbances in the functioning of these areas resulting from impact of stressful stimuli on the immature structures may manifest in psychopathological symptoms during development and in adulthood, and sometimes may lead to the development of mental illnesses .Some evidence indicates that early-life adversity experiences like poverty, chaotic environment, maternal separation or poor parental care may significantly contribute to dysfunction of the BRS . They maThe plasticity processes occurring during adolescence in the shell and core of NAc not only have different dynamics but also reveal a different involvement in rewarding and aversion effects, thus emphasizing the functional differentiation of both parts of this nucleus . Some auOverall, the presented data indicate the complex character of the NAc function in the rewarding or aversive responses. This implicates the existence of different regulatory mechanisms depending on the situational context of the shaped reaction, which are disturbed in the course of such pathological processes as addiction, stress, depression or mental disorders.The importance of dendritic spines in the NAc neurons results not only from their involvement in synaptic transmission and plasticity, shaping motivational behavior and reward feeling, but also from their role in the development of addiction. Morphology of dendritic spines in NAc, predominantly bearing excitatory synapses, is determined by processes that occur both in the prenatal and postnatal period . The devDrugs of abuse, such as cocaine, change the number and structure of dendritic spines in NAc ,44,246. In summary, both external and internal stimuli can initiate morphological changes in dendritic spines in NAc and other regions of the BRS. The importance of dendritic spine modifications results from their involvement in the synaptic transmission and neuroplasticity processes. These modifications are accompanied by activation of signaling pathways contributing to an increase in efficiency of synaptic transmission, which enables specific behavioral reactions. The modifications occur not only in physiological processes, but also in pathological processes, such as addiction, mental, and neurodegenerative diseases.Growing evidence shows the relationship between stress, taken psychostimulants, and some mental disorders and changes in the synapto-dendritic system of the reward-involved brain structures ,44,89,95Some addictive substances can also induce molecular changes in the BRS. Cocaine and morphine induce a decrease in content of Homer1 protein and postsynaptic density of protein 95 (PSD95) in the BRS ,262. TheA recent study found a correlation between drug addiction and dysregulation of the circadian rhythm of sleep and wakefulness . These dFurther research on the molecular basis of plasticity mechanisms in the spino-dendritic system in the BRS is warranted, since it might contribute to a better understanding of the causes of numerous pathological processes and to the development of new and more effective therapies.The main role of neurotransmitter transporters in the CNS is removal of the appropriate mediators from the synaptic cleft . TherefoFrom a practical point of view, the effects of inhibition of the individual transporters are of great importance, on the one hand affecting the dynamics of psychopathological disorders such as depression, anxiety, obsessive-compulsive disorder, attention deficit hyperactivity disorder (ADHD), and addiction . On the DAT plays an important role in eliminating DA from the synaptic space, ensuring physiological homeostasis in the neurotransmitter system . By inhiBahi et al. reported the crucial role of DAT in ethanol-seeking behavior, as well as acquisition and retrieval of ethanol contextual memory in mice . ConsequApart from the receptors, Glu transporters also play an important role in the efficiency of synaptic transmission in NAc . Their fActivity of GABA-ergic neurons and release of GABA have a significant impact on the activity of projection neurons and, thus, indirectly on the concentration of DA in NAc . This prExpression level of vesicular GABA transporter (vGAT) and vesicular glutamate transporter 2 (vGlut2) in NAc of the adolescent and adult rats after ethanol exposure shows a characteristic ontogenetic pattern with lower vGlut2/vGAT ratios in adolescents compared to adults . The preAs shown by studies performed in mouse experimental models, chronic unpredictable mild stress is often associated with development of major depression . During Results of a recent study have shown that SERT deletion contributes to the protection against the development of behavioral sensitization by increasing serotonergic neurotransmission, which is accompanied by dendritic remodeling of the MSNs in NAc . These rResults of the study by Verheij and Karel have shown that changes in NE content do not have a decisive influence on the enhancement of cocaine intake in the SERT knockout rats . In the Studies on the mechanisms of reward, stress, depression and addiction involve animal knock-out models of serotonin and dopamine transporters ,285,286.The dopamine transporter (DAT) is responsible for removing the neurotransmitter from the synaptic cleft to the presynaptic terminal. The DAT ko mice show symptoms resulting from the increased DA content . The useSome authors emphasize the importance of brain-derived neurotrophic factor (BDNF) for proper functioning of connections between structures of the BRS, such as VTA, NAc, and PFC ,292,293.The relationship between changes in BDNF expression and altered functioning of the limbic system\u2019s structures has been documented in several mental disorders such as depression, schizophrenia, and drug-induced addiction ,298,299.Data presented in this review show a wide range of NAc functions, not only under physiological conditions but also in pathological processes. The unique role of NAc among the structures of the BRS is a consequence of: (1) a widely distributed hierarchical system of connections with other brain regions, (2) cooperation with the limbic and motor functional systems in regulating the state of consciousness and behavioral reactions, and with the vegetative system, in coordinating metabolic, endocrine, and autonomic nervous systems functions, (3) cooperation among several neurotransmitter systems, (4) well-developed morphological and functional plasticity processes enabling control of the short- and long-term synaptic enhancement, and (5) supportive role of the NAc neuroglia in physiological and pathological processes.Changes in NAc functioning contribute to the development of several CNS diseases, such as depression, schizophrenia, and AD. In all these cases, the NAc dysfunction should be analysed in the context of its hierarchical connections with the other CNS structures and functional systems, impairment of the neurotransmitter systems and neuroplasticity processes. Further research on the structure and function of NAc will provide relevant information, useful not only for a better understanding of the mechanisms regulating motivation processes and striving for reward-achievement but possibly also for the development of effective therapies for some CNS diseases."}
+{"text": "In recent years, cardiovascular disease (CVD) continues to be the leading cause of global disease burden. Extensive efforts have been made across basic, translational, and clinical research domains to curb the CVD epidemic and improve the health of the population. The successful completion of the Human Genome Project catapulted sequencing technology into the mainstream and aroused the interests of clinicians and scientific researchers alike. Advances in single-cell RNA sequencing (scRNA-seq), which is based on the transcriptional phenotypes of individual cells, have enabled the investigation of cellular fate, heterogeneity, and cell\u2013cell interactions, as well as cell lineage determination, at a single-cell resolution. In this review, we summarize recent findings on the embryological development of the cardiovascular system and the pathogenesis and treatment of cardiovascular disease, as revealed by scRNA-seq technology. In particular, we discuss how scRNA-seq can help identify potential targets for the treatment of cardiovascular diseases and conclude with future perspectives for scRNA-seq. Cardiovascular disease (CVD), primarily ischemic heart disease and stroke, remains the leading cause of mortality and morbidity across the world . Recent With the completion of the Human Genome Project and the rapid development of sequencing technologies, there has been a growing interest in single-cell genomic and transcriptomic studies. Single-cell sequencing investigates biodiversity and heterogeneity at a single-cell resolution . Since iIn contrast, single-cell RNA sequencing (scRNA-seq) is used to detect the mRNA level of individual cells . In the Compared to adult hearts, embryonic and neonatal cardiac tissues are easier to digest and isolate single cardiomyocytes with higher viability. The lineage and heterogeneity of various cells in the process of cardiac development can be comprehensively analyzed by scRNA-seq . In 2016In addition, scRNA-seq contributes to the identification of factors responsible for the spatial development of the heart. Recently, uniquely expressed genes responsible for the development of the cardiac conduction system were identified in an embryonic mouse . SimilarAs for human vascular cells, scRNA-seq can comprehensively provide mRNA information of each cell in the heart and blood vessel in disease states, which can enable the discovery of new therapeutic targets for CVDs . In a moBecause of the large size of intact adult cardiomyocytes, researchers have used nuclei extracted from myocytes for scRNA-seq, so-called snRNA-seq. Coming to blood vessels, In addition, smooth muscle cells were reported to transition to macrophage- and fibrochondrocyte-like cells during atherosclerosis, a phenomenon regulated by the retinoic acid pathway . RecentlIn recent years, cardiovascular cells differentiated from human embryonic stem cells or hiPSCs have provided a new source of cells for repairing or regenerating the injured heart. Transplantation of cardiovascular cells was found to improve wall stress, cardiac metabolism, and contractile performance in a porcine heart model of MI . Geneticin vitro and the complexity of differentiated cardiomyocyte subsets are still unsolved questions is the basis for the development of scRNA-seq and spatial RNA sequencing (spRNA-seq), the latter two can offer transcriptional information at a single-cell level or near single-cell level . In addiscRNA-seq provides a powerful tool for studying cell heterogeneity, tracking cell dynamics, and subsequently finding new therapeutic strategies for CVDs. It has, thus, opened a fresh chapter in the field of modern cardiovascular research. With constant improvement in scRNA-seq technology and the combination of multiomics and spatiotemporal analysis, scRNA-seq will play a greater role in the field of cardiovascular research. In particular, the comprehensive study and analysis of genomics, epigenomics, and transcriptomics at the single-cell level holds promise for the elucidation of gene regulatory mechanisms at a single-cell resolution, contributes to individualized therapy of CVD in clinical practice, improves therapeutic efficacy and clinical outcomes, and facilitates the practice of precision medicine."}
+{"text": "ABSTRACT IMPACT: As scientific research is trending towards greater interdisciplinary and collaboration in order to meet the challenges of contemporary science, which has led to increased recognition of the importance of Team Science, this study will promote team science research within NJ ACTS Consortium as well as across the country. OBJECTIVES/GOALS: The objective of this study is to assess the feasibility of using the NIH Reporter database for developing and tracking team science metrics within the CTSA-funded NJ ACTS Consortium, which consists of RU, PU, and NJIT. The NIH Reporter database provides detailed information on single-PI and multiple-PI R01 grants funded by NIH. METHODS/STUDY POPULATION: 58 multi-PI projects and 344 single-PI projects are currently funded within the NJ ACTS consortium. We will use information from the database on funding levels, institutional composition of projects , numbers of publications, impact factors of publications, and funding supplements obtained to quantify and track NIH R01 Team Science activity in the consortium. RESULTS/ANTICIPATED RESULTS: Preliminary analysis suggests that it will be both feasible and efficient to use the NIH reporter database to develop Team Science metrics and to augment information in the database with information on PI characteristics such as department/center/school/university, academic discipline, and rank/tenure status, as well and detailed composition of research teams, such as the mix in terms of senior and junior scholars. DISCUSSION/SIGNIFICANCE OF FINDINGS: This study will make an important contribution to this movement by demonstrating the feasibility of using the publicly available NIH Reporter Database to quantify the level and success of Team Science in the form of single-PI and multiple-PI R01 grants funded by NIH, which represent extremely important Team Science activities at universities."}
+{"text": "The outbreak of COVID-19 has posed a huge threat to global health and economy. Countermeasures have revolutionized norms for working, socializing, learning, and travel. Importantly, vaccines have been considered as most effective tools to combat with COVID-19. As of the beginning of 2021, >200 COVID-19 vaccine candidates, covering nearly all existing technologies and platforms, are being research and development (R&D) by multiple manufacturers worldwide. This has posed a huge obstacle to the quality control and evaluation of those candidate vaccines, especially in China, where five vaccine platforms are deployed in parallel. To accelerate the R&D progress of COVID-19 vaccines, the guidances on R&D of COVID-19 vaccine have been issued by National Regulatory Authorities or organizations worldwide. The Center for Drug Evaluation and national quality control laboratory in China have played a leading role in launching the research on quality control and evaluation in collaboration with relevant laboratories involved in the vaccine R&D, which greatly supported the progression of vaccines R&D, and accelerated the approval for emergency use and conditional marketing of currently vaccine candidates. In this paper, the progress and experience gained in quality control and evaluation of COVID-19 vaccines developed in China are summarized, which might provide references for the R&D of current and next generation of COVID-19 vaccines worldwide. Consequently, >200 companies and institutions quickly put together plans for the research and development (R&D) of COVID-19 vaccines, covering almost all technology platforms available for preparing vaccines.3 Currently, COVID-19 vaccines from 19 developers have entered phase III clinical trials, and 12 related vaccines have been approved for conditional marketing or emergency use worldwide , quality control system, analytical methods, and qualification/validation data and validation data for assays used to evaluate critical vaccine qualities, such as purity, identity, and potency for all stages of manufacturing should be clarified and provided.40 While promulgating the technical guidelines for the R&D of COVID-19 preventive vaccines, China has formulated the technical guidelines for the pharmaceutical research of COVID-19 preventive mRNA vaccines to address and meet the growing interest in the R&D of new mRNA vaccines.37 These technical guidance documents have played an important role in the development and approval of vaccines for emergency responses globally. However, most of the above guidelines are based on the existing experience in vaccine development, which need to be updated and revised in a timely manner based on new data and trends arising from the research on the produce, quality control, preclinical, and clinical trials related to COVID-19 vaccines.To guide and standardize the R&D of COVID-19 vaccines, global health organizations or regulatory authorities, including WHO, NMPA of China, FDA of the United States, EMA of the European Union, and PMDA of Japan, have issued a framework for the evaluation of clinical studies and guidelines related to emergency use of COVID-19 vaccines Table .34\u201345 AsIn addition, in view of the emergence of new problems and challenges, it is necessary to formulate contingent technical guidelines that can be tested quickly and adopted for standardization. For example, WHO and FDA are currently developing guidelines on testing the impact of mutant strains on the efficacy of protection of vaccines. Relevant departments in China are also working on preparing supplemental guidelines and policies to assist and streamline responses to rapidly evolving situations during pandemics.Countries all over the world had to rush to come up with countermeasures to mitigate the impact of the COVID-19 pandemic. Companies and institutions scrambled for the development of vaccines. The resulting tight R&D time lines, adoption of numerous platforms for the development of vaccines, participation of multiple enterprises, and inadequate scale-up, as well as production facilities severely impacted the setting up and implementation of standards to guide the development of COVID-19 vaccines through the various stages of R&D and production. For instance, in China itself, currently, there are >50 R&D enterprises working on five different vaccine platforms. Among the candidates being studied and developed, 17 products have entered clinical trials. Standardization of the various processes developed by many companies posed a huge challenge to the Chinese regulatory authorities. To address this, the Chinese Center for Drug Evaluation (CDE) has released multiple publications on guiding principles for vaccine development, recommendations on methods, and the statutory standards for the quality control at each step of R&D. Furthermore, the national laboratory of China, National Institutes for Food and Drug Control (NIFDC), worked closely with several laboratories conducting research on vaccines to establish a series of quality control and reference standards for the purposes of evaluation, which provide valuable support for vaccine development.The purpose of recommending guidelines for vaccine quality is primarily to ensure the safety and effectiveness of vaccines. To aid the rapid development of vaccines for emergency use, parameters related to quality control and their specifications should, at the minimum, include the basic requirements of safety and effectiveness, while keeping in mind the urgency in rolling out vaccines for epidemic prevention and control. In view of the limited data generated during the R&D of quality control methods for new vaccines, some leeway should be permitted on the condition that specifications are continuously improved and validated in the subsequent R&D efforts.In terms of quality control methods and specifications, China has set forth technical requirements on key items like viral strains, cells, purified bulk, and final bulks to final lots for vaccine production by each platform. These form part of the quality control effort and require registration of related products that are specifically used in the development of vaccines from any of the five technical platforms.For a variety of cell lines involved in the production of COVID-19 vaccines, the relevant international guidelines were closely integrated with the Chinese pharmacopoeia, in order to formulate comprehensive recommendations on the quality control measures for the processes using cell lines in the production of vaccines. The numbers of new methods available for monitoring a range of parameters related to cell cultures for guaranteeing the quality have surged recently. For instance, a variety of methods for detecting contamination and misidentification of cell lines like multiplex polymerase chain reaction (PCR), DNA barcoding, and STR mapping are now available for rapidly identifying problems and quality issues with cell lines. In particular, the newly established methods for the rapid detection of exogenous contamination (such as the Touchdown PCR detection method for mycoplasma) not only guarantee the safety of the vaccine, but also solve the problem of lack of cell detection technology, which can save considerable time for vaccine R&D, while providing strong support for the quality of production processes during technical reviews.For vaccines made up of recombinant protein Fig. , the tar37 The quality control of the mRNA bulk targets steps like mRNA identification, mRNA sequence length, sequence integrity and accuracy, etc. Research for enhancing the quality of nanoparticles should focus on optimization of encapsulation rate, particle size distribution, surface charge, stability and immunogenicity, etc. Biological activity of the final products should be demonstrated in vitro, as well as in vivo tests.For vaccines based on mRNA technology Fig. , there i46 it also puts forward relevant requirements for vaccine design. For example, the rationale for the selection of the target antigen(s), encoded proteins and the inflammatory nature of the given mRNA, the quality, quantity and bias of the immune responses cell phenotype), biostability, etc. should be clarified.In addition, in the general guideline for RNA vaccines newly formulated by WHO in 2020,One of the key challenges in COVID-19 vaccine development that remains unaddressed is the drafting and acceptance of criterion for the evaluation of the efficacy of vaccines by all stake holders. In the early stages of COVID-19 vaccine development, NIFDC of China successfully prepared and established the SARS-CoV-2 neutralizing antibody (NtAb) standard, created the pseudovirus detection method as a substitute for tests involving use of live SARS-CoV-2 and ACE2 transgenic mice models for in vivo testing of the efficacy and safety of the vaccine. It is mandatory for the emergency use vaccines to provide data related to the use of these standards and methods in the preclinical studies before entering the clinical trials, leading to their subsequent approval for emergency use.47 In addition, the preparation of serum has also helped some vaccine development companies to establish a vaccine antigen detection method.SARS-CoV-2 recombinant RBD protein was used to immunize goats and rabbits to successfully prepare several anti-goat and anti-rabbit sera against the virus. The highly potent sera were distributed to several Chinese manufacturers of SARS-CoV-2 inactivated vaccine, which solved the technical bottleneck of identification of the virus specifically and detection of exogenous virus-related factors.For the first generation of coronavirus vaccines being developed and approved for emergency use, in vivo efficacy testing remains the main rate-limiting step for licensure. The traditional methods for establishing the efficacy of the vaccine rely on the collection of blood samples for the detection of antibodies 1 month after immunization. Based on the results from previous research, it is proposed that both the inactivated and recombinant protein vaccines should be tested for binding antibodies 14 days after the administration of the first dose of vaccine. After successful demonstration of the required titer of antibodies, the candidate vaccine for emergency use can successfully complete the registration requirements in the first attempt and quickly enter the clinical trial.Many R&D enterprises that developed inactivated vaccine and recombinant protein vaccine adopted their own antigen detection methods, which make it difficult to compare the active content of vaccines across the manufacturers. Recently, a team of scientists extensively screened monoclonal antibody libraries to obtain antibodies suitable for establishing a double antibody sandwich ELISA-based kit for the universal detection of antigens, which showed good correlates between vaccines developed from different platforms and different systems (unpublished date). Such a kit would be used for the evaluation of the in vitro efficacy of recombinant protein vaccines and inactivated vaccines.48Elicitation of neutralizing antibodies is one of the main measures of vaccine pharmacodynamics during clinical trials. Plaques reduction and microcytopathic methods are the gold standards for the detection of NtAb at present. But, the application and popularization of these methods are greatly limited due to the need of live virus. In the early stage of the outbreak of COVID-19, Wang et al. constructed the SARS-CoV-2 pseudovirus using the VSV pseudovirus system and established the pseudovirus neutralization method. This method of detection of neutralizing antibodies offers several advantages like objectivity, sensitivity, and accuracy. Most importantly, there is no need for a P3 laboratory for performing tests using this method. Consequently, it has been used in many vaccine R&D enterprises and institutions, solving the key issue of detection of NtAb evoked by COVID-19 vaccine, and providing strong technical support for ensuring effectiveness of the process of evaluation for the vaccine.49Animal models are key tools for evaluating the amount of protection conferred by vaccines in preclinical studies. Using CRISPR/Cas9 knock-in technique, Sun et al. constructed a transgene mouse model that could express human ACE2 (HACE2) receptor. Compared with wild-type C57BL/6 mice, both young and old HCE2 mice maintained higher viral loads in the lungs, trachea, and brain during nasal infection. At the same time, increased interstitial pneumonia and cytokines were observed in SARS-CoV-2-infected HCE2 mice. At present, this model is being used in the preclinical pharmacological evaluation of several vaccines, providing a crucial tool for evaluating the ability of vaccine to confer protection against viral challenge.51 Synchronous R&D of the vaccine by different manufacturers helped establish, authenticate, and validate the processes and methods for QC during preclinical and clinical immunogenic evaluation of vaccines produced by different manufacturers,60 which ensured the accuracy and comparability of vaccine, and aided the marketing and application of EV71 vaccines.61Standard materials are yardsticks for ensuring the safety, effectiveness, and produce consistency of the vaccines. The use of rational, reliable, stable, and uniform standard materials is necessary to ascertain that the internal, as well as external regulatory QC requirements are met. These attributes also play a role in the evaluation of vaccines of different kinds originating from different regions or institutes involving various methods used for their appraisal. Such as enterovirus 71 (EV71) vaccines, methods for QC and establishment of standard reference materials for EV71 vaccines were done in the early stage of development to guarantee accurate evaluation of vaccines.Compared to EV71 vaccine, which was developed using only one technical platform, the establishment and application of standard materials for COVID-19 vaccines that have been developed from multiple platforms would be more challenging. Given the importance and need for unifying protocols for ease of comparison of different COVID-19 vaccines, the guiding principles on establishment and use of standards could greatly reduce the burden and challenges, surrounding approvals for these new vaccines.62 This standardized reference also plays an important role in assuring adequate QC measures for vaccines developed from different platforms and by different manufacturers. Importantly, it provides a reference point for comparison of NtAb titers evoked by different vaccines. WHO established the first WHO international standard for anti-SARS-CoV-2 immunoglobulin in December 2020, and it was assigned an international unitage of 250\u2009IU/ampoule. The standard was a result of an international collaborative effort with laboratories from all over the world participating in the calibration of the standard, leading to a uniform international standard for the estimation of antibody titers.63NtAb response is a key measure of immunogenicity and efficacy of vaccine. To assist in the evaluation of the efficacy of COVID-19 vaccines during the R&D stage, Hou et al. employed convalescent sera of COVID-19 to develop a national standard for SARS-CoV-2 NtAb with an assigned unitage of 1000\u2009U/ml.64 Therefore, RBD protein content is the key of the whole virus inactivated vaccine and other forms of recombinant protein vaccines developed using various expression systems. Presence of correctly folded RBD ensures efficacy. To establish a uniform reference to quantify effective components in vaccine, Liang et al. selected a CHO-expressed RBD antigen that had a moderate antigen activity from different candidates. This RBD protein was distributed to 11 labs for collaborative calibration. The results indicated that this candidate standard showed good parallelism and linearity with inactivated antigen and S or RBD antigens produced from CHO cells, yeast, Escherichia coli, or sf9 cells, which demonstrated that this candidate standard could be used as a uniform antigen standard for inactivated or recombinant vaccines. The standard is expected to provide a uniform benchmark for the quantification of effective components in vaccine.RBD is a universally accepted active domain of SARS-CoV-2 vaccine.The outbreak of COVID-19 has been catastrophic for human health, and its epidemiology posed a great challenge for global regulators and vaccine industry. In order to promote the R&D of vaccines and ensure the safety and effectiveness of vaccines, global regulators have formulated a series of guiding principles for the R&D of this new vaccine, including quality control, evaluation, and licensure. Among them, China is facing the biggest challenge due to the complicated and diverse vaccine R&D situation. In China, as a part of the national supervision system for vaccine development, CDE and NIFDC have played a leading role in launching the research on QC and evaluation at the earliest stages in collaboration with relevant laboratories involved in the vaccine R&D, which supported and accelerated the process of conditional marketing and emergency use of different vaccines with high quality.In this process, the Chinese National Regulation Authority believes that the establishment of national and international unified evaluation methods and standards is extremely important for the QC and evaluation of these new vaccines. So, QC and evaluation methods, including psedovirus-based NtAb detection method, and NtAb standard, were rapidly developed, established and used in the quality control and evaluation of COVID-19 vaccines. Those accomplishments relied on the close communication and collaboration between Chinese regulatory authorities and international organizations , and the close cooperation among institutions with supervisory roles in China, and the direct communication among supervisors and manufacturers. These works unified projects, methods, and standards for QC of vaccines using same platforms to great extent, which ensures the consistency, comparability, and objectivity of quality control and evaluation of different kinds vaccines or same kinds vaccines developed by different manufactures.66 More innovative technologies and ideas, such as research on heterologous prime-boost strategy of combining different vaccine candidates, next-generation vaccines capable of evoking more potent and effective immune responses against mutants, monovalent or multivalent vaccines, and the monitoring for tendency of the virus mutation should be studied if it can help mitigate these issues. At the same time, how to constantly adjust the standards and technical requirements of vaccines according to the changing situation, so as to ensure the safety and effectiveness of vaccines is a common challenge faced by global regulatory agencies. Active and close international cooperation and exchange is the only way to solve the problem to better prevent and control of the epidemiology of SARS-CoV-2 worldwide.Recently, COVID-19 inactivated and adenovirus-vectored vaccines have been approved for marketing. However, there has been variability in their protective efficacies, which needs to be further investigated. Furthermore, the recent variants documented in South Africa and Brazil might escape the protective immune responses elicited by these vaccines."}
+{"text": "Nucleic acids underlie the storage and retrieval of genetic information literally in all living organisms, and also provide us excellent materials for making artificial nanostructures and scaffolds for constructing multi-enzyme systems with outstanding performance in catalyzing various cascade reactions, due to their highly diverse and yet controllable structures, which are well determined by their sequences. The introduction of unnatural moieties into nucleic acids dramatically increased the diversity of sequences, structures, and properties of the nucleic acids, which undoubtedly expanded the toolbox for making nanomaterials and scaffolds of multi-enzyme systems. In this article, we first introduce the molecular structures and properties of nucleic acids and their unnatural derivatives. Then we summarized representative artificial nanomaterials made of nucleic acids, as well as their properties, functions, and application. We next review recent progress on constructing multi-enzyme systems with nucleic acid structures as scaffolds for cascade biocatalyst. Finally, we discuss the future direction of applying nucleic acid frameworks in the construction of nanomaterials and multi-enzyme molecular machines, with the potential contribution that unnatural nucleic acids may make to this field highlighted. Nucleic acids demonstrated very unique properties and advantages to be used for constructing nanomaterials and scaffolds of multi-enzyme systems. For example, the structures of nucleic acids are well determined by their sequences, which allows straightforward control of their structures by customized sequence design . The feamachines . In recemachines . Hopefulin vitro and in vivo are summarized and discussed. A perspective on future development and application of novel nucleic acid frameworks in building nanostructures and multi-enzyme systems is provided in the end, with the potential contribution of unnatural nucleic acids highlighted.In this review article, we start from a brief introduction of the molecular structures and properties of natural and unnatural nucleic acids. Then the approaches and recent progresses on fabricating and applying complex nanostructures and multi-enzyme systems with nucleic acid scaffolds de novo synthesis of DNA and the invention of polymerase chain reaction (PCR) technology for exponential amplification of DNA have already laid the technical foundations for large-scale preparation of DNA, which is the prerequisite to extensively use DNA as a structural material has greatly expanded the genetic alphabet . Introduormation . Moreovereagents .in vivo replication, transcription, and even translation , and the ssDNA was then reverse transcribed from the RNA by HIV reverse transcriptase, which was recruited by HTBS effector staple proteins , four-way junction (4WJ), kink-turn motif, hairpins, pseudoknot, C-loops, right-angle motifs, tetraloop-receptors, paranemic motifs, and kissing loops, which can be directly employed in the design and construction of RNA nanostructures . Early emedicine . Mao andmedicine . Hermannmedicine . Since tmedicine . With inmedicine . In anotmedicine .in vivo construction and application of nanostructures more feasible. Geary et al. designed RNA tiles fabricated with a single-stranded RNA, and these RNA tiles can self-assemble into hexagonal lattices , for the treatment of triple negative breast cancers (TNBCs) . AlternaEfforts have also been made to fabricate RNA and DNA structural units together to produce novel RNA-DNA hybrid materials that possess characteristics, properties, and functions of both RNA and DNA. For example, Hermann and co-workers reported a self-assembled RNA-DNA hybrid polygonal nanostructure, the formation and stabilization of which were highly dependent on the binding of the DNA aptamer integrated in the nanostructure with its ligand AMP . Afonin in vivo production of RNA nanostructures via co-transcriptional assembly has also been demonstrated by several groups, which suggested the potential use of RNA as a scaffold material for organizing functional molecules in living cells. For example, Delebecque et al. assembled programmed RNA scaffolds in vivo, and applied them to guide the spatial organization of proteins , which mimicked peroxidase , which was composed of AMP and Ce3+ . The NCP3+ . Other t3+ 20 oligonucleotide, was attached to the surface of the DNA tile in between these two enzymes, and behaved as a swinging-arm that facilitated hydride transfer between G6PDH and MDH 20 oligonucleotide had an obvious negative impact on the catalytic activity. Later, they expanded this work to the construction of an artificial 2D enzyme network of G6PDH and lactate dehydrogenase (LDH), in which the enzymes were immobilized on the nodes of a wireframe DNA origami grid, and the cofactor NAD+-coupled duplex swinging arms were immobilized halfway between each pair of G6PDH and LDH and a malic dehydrogenase (MDH) were co-immobilized on a DNA double-crossover tile scaffold, and a NAD and MDH and xylitol dehydrogenase (XDH) of xylose metabolic pathway on DNA origami nanostructures with different distribution patterns of protein binding sites Ngo et . While Xin vitro construction of multi-enzyme systems, presumably due to the fact that RNA is not as stable and cheap as DNA. However, there are some examples of using RNA scaffolds for the in vivo construction of multi-enzyme systems, taking advantage of easy in vivo production of RNA via transcription and efficient co-transcriptional assembly of RNA nanostructures, which will be introduced in next section. Unnatural nucleic acid scaffolds have also not been used for the construction of multi-enzyme systems yet, since the efforts on the development of efficient tools to produce, amplify, and manipulate them, including unnatural nucleic acid polymerases, although already fruitful, are still in progress. The great potential of this field will be discussed in the end of this article.There is barely any example of using RNA scaffolds for the via in vivo construction of multi-enzyme systems with key enzymes in the metabolic pathways cells. After being expressed in the cells, the zinc finger protein-fused enzymes spontaneously assembled onto the scaffold plasmid. They then optimized stoichiometric ratios of the enzymes and intervals between the enzymes for higher L-threonine production. With the optimal system, the production time of L-threonine was reduced by over 50%, and the growth rate of the host cells was also enhanced, presumably due to reduced accumulation of toxic intermediates. Chen and coworkers reported the application of similar strategy on spatial modulation of pathway enzymes for improved production of N-acetylglucosamine in Bacillus subtilis (in vitro or in vivo by simply fusing enzymes with TALE proteins and immobilizing them onto a DNA scaffold with multiple TALE binding sequences. Zhu et al. reported the in vivo construction of TALE-based multi-enzyme system for the synthesis of indole-3-acetic acid (E. coli (Whole cell biocatalysts have been broadly used in bioindustry for the production of valuable chemicals, and their catalytic efficiency can be significantly improved pathways . Biomacr ligands . Many of ligands (Lee et ligands . Plasmidsubtilis (Liu et subtilis . The zinsubtilis (Conradosubtilis . TALEs asubtilis . Taking tic acid . In this(E. coli . After oin vivo construction of multi-enzyme systems have been reported yet, mainly due to the lack of efficient and user-friendly methods for in vivo production and assembly of singles-stranded nucleic acid components, as well as methods for in vivo immobilization of enzymes of interest site-specifically onto these nanostructures. Sliver et al. pioneered an effort to construct multi-enzyme systems in vivo based on RNA nanostructures (in vivo constructed 2D RNA scaffolds for enhanced pentadecane and succinate production (Up to now, not many examples of applying complex nucleic acid nanostructures for ructures . RNAs wioduction .in vitro and in vivo.In the past decades, a variety of elegant artificial structures based on nucleic acids have been designed and constructed, and some of them have found broad application in the construction of elegant nanomaterials or as highly programmable scaffolds for multi-enzyme systems. In this article, we started from the introduction of basic characteristics and properties of natural and unnatural nucleic acids, which demonstrated the uniqueness and superiority of nucleic acids to be used as structural materials. The progress in the development of polymerases for the efficient synthesis of nucleic acids with unnatural moieties, which are essential for broader application of unnatural nucleic acids, was also discussed. We then summarized representative approaches in the application of DNA, RNA, and unnatural nucleic acids for the construction of various artificial nanostructures, ranging from simple one or two-dimensional structures to complicated 3D origami nanostructure assemblies. In the end, we reviewed the construction of multi-enzyme systems using nucleic acid structures as scaffolds, as well as the application of these multi-enzyme systems for efficient catalysis of cascade reactions, both de novo synthesis technology, will facilitate the acquirement of more and better oligonucleotide sequences to be used as components for the construction of nucleic acid nanostructures in the future (Rapid development of DNA and RNA nanotechnology has enabled the construction and broad application of various nucleic acid nanostructures. However, more efforts still need to be made to make the procedures and the computational programs for the design and construction of complicated nanostructures more robust and user-friendly . Recentle future .in vitro or in vivo. However, these systems are still far from perfect, and a lot of efforts need to be made to further improve their performance. For instance, new chemistry may be developed to achieve efficient site-specific immobilization of the enzymes onto the scaffolds and precise control of the orientation of the enzymes, which is obviously very important for the accessibility of substrates or intermediates to the active sites. Smarter nucleic acid nanostructures may also be designed for better regulation of the stoichiometric ratio and relative positions of the enzymes based on their kinetic parameters to achieve optimal overall catalytic performance. Development of better computational tools to assist the design, assembly, and behavior simulation of versatile nucleic acid nanostructures will also greatly promote these efforts (in vitro, complex DNA origami nanostructures are rarely used as scaffolds for in vivo construction of multi-enzyme systems. Most of the nucleic acid scaffold-based multi-enzyme system constructed in vivo are still simply based on the immobilization of DNA-binding protein elements on linear double strands of DNA. Further exploitation of methods for constructing complicated nucleic acid nanostructures in vivo and combining these nanostructures with well-designed nucleic acid-binding proteins may lead to much better scaffolds for in vivo assembly of highly programmable multi-enzyme systems, and facilitate the engineering of cellular metabolic pathways.In order to immobilize and organize two or more enzymes for efficient catalysis of cascade reactions, multi-enzyme systems have employed various materials to fabricate the scaffolds, including inorganic materials, organic frameworks, and biological materials. Among those, nucleic acid has proven one of the most promising scaffold materials. Numerous artificial structures have been constructed with nucleic acids, and many of them are already well suited for the construction of multi-enzyme systems for efficient catalysis of cascade reactions efforts . Despitein vitro application of unnatural nucleic acids, the efforts on construction of semi-synthetic organisms have opened the gate for in vivo application of unnatural nucleic acids (in vitro and in vivo.Although natural nucleic acid frameworks have already been broadly used in the construction of nanomaterials or as the scaffolds of multi-enzyme systems, there still remain many challenges in the construction and application of better nucleic acid scaffolds that fulfill the requirements of more programmable and robust nanostructures or multi-enzyme systems. For example, the number of nucleobases in natural DNA and RNA is quite limited compared to the number of amino acids in protein, which results in limited sequences, structures, and designability of DNA and RNA. Moreover, natural nucleic acids have low tolerance against nuclease degradation and reduced stability under various chemical or physical conditions, which restricts the application of nucleic acid nanostructures or multi-enzyme systems with nucleic acid scaffolds in biological solutions or harsh environments. The fast development of unnatural components has provided a generous toolbox for the structural and functional expansion and augmentation of nucleic acids, and thus offered a great potential for the design and construction of better nucleic acid-based nanostructures and multi-enzyme scaffolds. As mentioned above, newly developed unnatural base pairs are already able to pair, replicate and transcribe as efficiently as natural base pairs . The intic acids , so we c"}
+{"text": "Rates of suicide are elevated in middle- and late-life, yet studies focusing on suicidal ideation and behavior in older adults are limited compared to research in younger adults. The studies included in the present symposium offer valuable findings on suicide in older adults across the span of late-life. Owsiany et al. focus on age differences between older and younger adults in the association between anxiety symptoms and suicide risk. In Heisel et al., an online intervention is assessed for improving the outcomes of psychological well-being and suicide risk in older adult men who are transitioning into retirement during the COVID-19 pandemic. Crnek-Georgeson and Wilson reviewed the link between retirement patterns and psychological effects, including suicidal behaviors, among older adults. Additionally, this review includes recommendations for policy makers and employers in an effort to assist older adults with the transition into retirement. Utilizing baseline data from the Helping Older Adults Engage study, Fenstermacher et al. research the association between volunteering and suicidal ideation in a predominantly lonely older adult sample across the span of late-life. Together, these studies provide foundation for future research on suicide in late-life to build upon. Future studies should continue to focus on risk and protective factors for suicide in older adults and aim to improve screening and intervention for suicidal thoughts and behaviors in this population. Yeates Conwell, M.D., Director of Geriatric Psychiatry and Co-Director of the Center for the Study and Prevention of Suicide at the University of Rochester Medical Center, will serve as discussant."}
+{"text": "Internally Displaced Persons (IDPs) in the camps face many reproductive health challenges. They should meet their needs timely to save their lives. This paper outlines a systematic review to discuss the challenges of reproductive health management in the camps of internally displaced persons.For this research, electronic databases including PubMed, Science Direct, Scopus, Pro Quest, Google Scholar and Cochrane Library till January 1, 2020 were searched. A threestage screening process was used for the selection of literature due to PRISMA checklist. Finally, a thematic synthesis approach was applied to analyze the data.In total, 133 articles were identified; 11 articles met the inclusion criteria for entering the process of final analysis. The findings were demonstrated in six main categories of availability and accessibility of reproductive health services, sexual and gender-based issues, human rights, social and cultural issues, coordination and collaboration, and mental health issues. The remarkable result of this study highlighted that the main challenges are lack of access to health services, violence against women and lack of household education.Results of this systematic review present valuable advice for policy makers and managers to prepare and respond effectively and timely to reproductive health challenges of internally displaces persons. Disaster preparedness plans and contingency plans for maintaining and developing reproductive health in IDPs camps are recommended. Every year, millions of people around the world miss their homes as a result of conflicts and disasters and become internally displaced within their own countries . A totalInternally Displaced Persons (IDPs) have the same health needs as non-displaced people. Women accounted for around half of the IDPs in 2010 . They arReproductive health is a state of complete physical, mental and social well-being and not merely the absence of disease and infirmity, in all matters related to the reproductive system and to its functions and processes . Many stThe purpose of this systematic review study is to determine the reproductive health challenges of IDPs in disasters and emergencies.Search strategy and selection criteria: Six electronic databases were searched to identify studies from published and grey literature on productive health problems and challenges of IDPs. The populations of interest were persons who had been internally displaced. The search was done on January 1, 2020 and not limited to a specific time frame. The bibliographic databases searched were PubMed, Scopus, Science direct, ProQuest, Cochrane Library for English literature and Google Scholar for Persian ones. The search terms adopted include: AND AND AND (Disasters). Reference listings of identified articles were also independently hand-searched for more specific articles. The numbers of articles/abstracts generated from the various databases are indicated in Study screening and selection: A three-stage screening process was undertaken for the selection of literature for the study. Initially, the authors conducted independent searches based on the search strategy. Secondly, title and abstract of founded articles were screened independently by the authors to assess their eligibility for inclusion in the review. This stage was conducted using the inclusion and exclusion criteria. Finally, the available full texts of the selected articles were reviewed to confirm that the studies met the research question of this review. The process for selecting and reviewing the articles has been indicated in Inclusion and exclusion criteria: All the studies with different study designs and methodologies that reported the reproductive health challenges of IDPs were included. Studies with no data on the scope of the research question of this review were excluded alongside books, guidelines, peer-review and online articles and reports. Also, the articles that whose full texts were not available or were in other languages other than English and Persian were excluded. Furthermore, time, age and sex were not factors considered for exclusion in this study.Data extraction: The full texts of eligible studies for this review were independently screened and summarized according to designed forms for descriptive and thematic analysis. Information about the author, country in which the study was carried out, study year, study design, objectives and key study results were extracted from the descriptive analysis. Another form was applied for extracting the challenges of reproductive health in IDPs and categorizing them. Finally, the manuscript was evaluated by PRISMA checklist.The screening process yielded a total of 133 citations/abstracts (Stage 1). The duplicated studies were removed, and of 119 studies after reviewing the titles and the abstracts, a total of 90 of these were rejected because they were not relevant to reproductive health challenges of IDPs, or the study populations were done in either refugees or unrelated populations (Stage 2). A total of 29 articles were left for the full-text review (Stage 3). Subsequently, 18 studies were discarded because they did not meet the inclusion criteria .Descriptive results: By reviewing the eleven included articles, it was declared that the largest numbers of papers were from Africa (36%), followed by Asia (18%) and United States (18%). Other studies were from Europe and South America. The descriptive analyses of the most important included articles in this study are summarized in Analysis: Classification of reproductive health management challenges of IDPs in disasters are shown in The database search yielded 101 papers . Of thesThe 11 included studies reported on reproductive health management in IPDs focusing on lack of access to certain services , violencThe main challenges were described and categorized in the field of reproductive health management in the humanitarian settings for IDPs at this stage. Availability and accessibility of reproductive health services, sexual and gender-based issues, human rights, social and cultural issues, coordination and collaboration, and mental health issues were the main categories 22,23).,23.22,23This review identified a limited evidence base on the main IDPs challenges of reproductive health management in the humanitarian settings with available studies covering divergent settings. Available studies revealed that there are many fundamental challenges to IDPs reproductive health management ,21.Availability and accessibility of reproductive health services: The first important challenge in this category was lack of access to certain services (services \u201316. Lackservices \u201327, but services . Neglectservices ,17,19, uservices ,14,17, pservices , 17 and services , 15\u201318 mA woman has many reproductive health needs, through the different stages of reproductive life such as access to a full range of family planning services, safe abortion care, and prenatal, delivery and postnatal care . ReproduThere are some health concerns of women and infants in disasters . UnplannSexual and gender-based issues: In disasters and emergency situations, overall levels of violence increase (increase . Women aincrease . Communiincrease and inteincrease .Human rights: Some studies mentioned that women in IDP camps suffer diminished human rights and dignity ( dignity . This is dignity . Nationa dignity . Humanit dignity . Also, S dignity .Social and cultural issues: Lack of household education is one of the main reproductive health management challenges of IDPs in disasters. Most of the studies had focused on this issue (is issue ,15,19,20is issue . Disasteis issue . To asseis issue . Therefois issue .Women in IDP shelters suffer from reproductive health challenges and their activities are mainly influenced by cultural taboos and community beliefs . The heaCoordination and collaboration: One of the challenges was lack of adequate standards for managing the reproductive health. One of the active roles of the government and humanitarian assistance organizations is to provide adequate standards of living and social security for IDPs. This is in complete agreement with previous studies ( studies . Minimum studies \u201350. Deve studies . Also, mMental health issues: Mental disorders after disasters reported in previous studies. Depression especially in women are recognized as a common mental disorder. Post disaster suicide-attempt rates and depressive disorders are higher in internally displaced population (pulation . Violencpulation , and accIn general, IDPs in camps face with many reproductive health challenges. In this systematic review, we provided a comprehensive discussion and summarized all aspects of these challenges. Developing disaster preparedness and contingency plans, estimating the immediate reproductive health needs using the MISP, increasing the knowledge of women about their rights, and addressing the mental and psychosocial needs are important approaches to decrease these challenges. Also, planning for gender-based violence prevention, developing referral programs, using female officers in the IDP camps, creating standards of living and social security for IDPs and increasing the access to a full range of family planning services are some recommendations to decrease the reproductive health management challenges of IDPs in disasters."}
+{"text": "The quality of meat and dairy products can be evaluated from the perspective of the farmer seeking high yields and profits or the consumer for whom sensory characteristics are the most important, although health and ethical aspects, such as animal welfare and the environmental impact of the production system, are increasingly becoming concerns worldwide. Animal nutrition is one of the most important environmental factors that significantly influences the quality of meat, milk, and other dairy products; therefore, emphasis is often placed on improving the quality of feed. A main target for improving the nutritional characteristics of meat and dairy is the enhancement of lipid quality, which can be achieved by increasing the content and improving the composition of beneficial fatty acids (FAs)\u2014n-3 polyunsaturated FA (PUFA) and conjugated linoleic acid (CLA)\u2014and decreasing the n-6:n-3 PUFA ratio. Factors such as the forage:concentrate ratio, dietary fat supplements, pasture, etc. have a crucial effect on dairy and meat quality. Some studies have shown that meat and dairy from ruminants grazing on pasture are enriched with bioactive substances of natural origin like phenolic compounds, fat soluble vitamins, terpenes, and lipid components. These animals are also able to consume increasing amounts of by-products or \u2018unconventional\u2019 animal feedstuffs, which can improve the health-giving properties of products. In addition, dietary manipulations favouring polyunsaturated FA in dairy and meat lipids increase the risk of lipoperoxidation, which can be efficiently prevented by the use of antioxidants in the diet. Furthermore, the search for biomarkers that link the composition of animal products to livestock feed has become a target of scientific research; these biomarkers allow for traceability from farm to fork, based on the herbivore diet and geographical origin. In this context, the Special Issue \u2018Better Animal Feeding for Improving the Quality of Ruminant Meat and Dairy\u2019 aims to provide an integrated analysis of the major aspects of the nature and composition of ruminant meat and dairy and the effect of better animal feeding on the improvement of nutritional and sensory qualities and functional properties beneficial to human health. This Special Issue comprises seven valuable works of original research on product quality; four studies were conducted on pasture-based systems , two on alternative feedstuff-based systems , and one on conventional concentrate-fed animals .Of the articles on pasture-based systems, three compared grass-fed regimes with conventional concentrate-fed regimes. Serrapica et al.\u2019s study onIn the Mediterranean region, high amounts of by-products are available that can be used as alternative feedstuffs for ruminants, lowering feed costs, and enhancing farm sustainability, while reducing the environmental impact of livestock production. Monllor et al. determinIn the last paper of this Special Issue, Barahona et al. studied In summary, the Special Issue provides evidence that production systems based on grass and forages produce healthier products with better sensory attributes, thereby promoting the consumption of healthier foods. At the same time, as suggested by several authors, high amounts of by-products can be used as alternative feedstuffs for ruminants, enhancing farm sustainability while improving the health-giving properties of products."}
+{"text": "The rapid evolution of severe acute respiratory syndrome coronavirus 2 (SARS-CoV-2) emergency involved Italy as the first European country. Meanwhile, China was the only other country to experience the emergency scenario, implementing public health recommendations and raising concerns about the mental health of the population. The Italian National Institute of Health [Istituto Superiore di Sanit\u00e0 (ISS)] reviewed relevant scientific literature in mental health to evaluate the best clinical practices and established the collaboration with the WHO, World Psychiatry Association, and China to support the public health system in a phase of acute emergency. This process permitted the definition of organizational and practical-operational Italian guidelines for the protection of the well-being of healthcare workers. These guidelines have been extensively disseminated within the Italian territory for maximum stakeholder utilization. Starting from February 2020, Italy was the first European country facing the severe acute respiratory syndrome coronavirus 2 (SARS-CoV-2) emergency. On March 8, 2020, several Northern Provinces of Italy were placed under lockdown, and on March 10, 2020, at 00:30, any movement of people across the whole Italian national territory was forbidden, unless motivated by compelling reasons of health or work. All Italian people suddenly experienced confinement at home, physical distancing, while simultaneously receiving dramatic news from all media concerning the pandemic evolution and hospital emergencies, with potential negative impacts on the mental health of the people, as shown in a recent German study ] consequently elaborated specific guidelines for COVID-19 diagnostic and care procedures, particularly for individuals in the autistic spectrum and/or with intellectual disabilities, to optimize the management of sharp changes in the living and working environment and daily routine of such individuals. The main areas addressed by the ISS guidelines included strategies to promote the training of professionals, reorganize clinical and care activities through the development and maintenance of remote interventions, scheduled interventions in the presence, and patient management in the long-term facilities.Finally, frontline health workers found themselves exposed to biological risk factors, social isolation from family members, and subsequently, intensified challenges of recovery from physical and emotional distress . Only China, at that time, was devoted to face the COVID-19 pandemic and its consequences on the mental health of the people. The ISS researchers reviewed relevant scientific literature in mental health to evaluate the best clinical practices. We established the collaboration with the World Psychiatric Association Action Plan 2021\u201323 Working Groups on Intellectual Developmental Disorder and Autism Spectrum Disorder, consolidating a working group that formulated advice to tackle mental distress for people with intellectual disability and autism spectrum disorder, SIDiN (https://www.iss.it/en/rapporti-iss-covid-19-in-english/). This ISS report is freely available and has been extensively disseminated within the Italian territory for maximum stakeholder utilization. The report provides guidelines to organize the roles and activities of workers, ensure training , promote material in support of interventions, and monitor psychological well-being such as individual support strategies, monitoring of reactions related to discomfort, activate psychological and psychiatry support, psychological, psychiatric, and psychopharmacological interventions (as shown in The Research Coordination and Support Service of the ISS collaborated with the Nottingham Ningbo GRADE Center and researchers of the Shanghai University of Traditional Chinese Medicine, and Children's Hospital of Fudan University to translate and adapt the aforementioned guidelines for an Italian context, with consideration of contextual and cultural differences. The translation of Chinese guidelines has been useful in the preparation of the organizational and practical-operational guidelines for the health workers report \u201cInterim guidance for the appropriate support of the health workers in the SARS-CoV-2 emergency scenario,\u201d developed by the ISS Mental Health and Emergency Working Group COVID-19, which is accessible on the institutional ISS website (via an e-meeting organized by the WHO working in Ethiopia on Mental Health and COVID-19. This document describes an evidence-based process that can be taken as an example for future international collaborations to support the public health systems.The collaboration between Italy and China, established in a phase of acute emergency, has been fundamental as a basis for the definition of Italian guidelines dedicated to public mental health and promotion of the well-being of health workers, whose protection is a key component of public health measures in addressing the COVID-19 epidemic . The proMLS: conceptualization and funding acquisition. MLS, FS, GG, and JX: writing the original draft preparation, writing the review and editing. All authors have read and agreed to the published version of the manuscript.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest.All claims expressed in this article are solely those of the authors and do not necessarily represent those of their affiliated organizations, or those of the publisher, the editors and the reviewers. Any product that may be evaluated in this article, or claim that may be made by its manufacturer, is not guaranteed or endorsed by the publisher."}
+{"text": "Dear Editor,Pure Neural Leprosy (PNL) is a form of leprosy characterized by neural involvement without any skin lesions.M. leprae and the diagnosis of tuberculoid leprae with PNL was made. Antibodies against phenolic glycolipid-1 antigen (anti-PGL antibody) were negative. A therapy based on a combination of three drugs associated with prednisone 25\u202fmg and gabapentin 300\u202fmg (2 cp/die) was started with improvement of symptoms.A 78-year-old man, a professional missioner in the Philippines and Papua New Guinea, has presented sensory loss of left foot and pain of left hand present over a period of 4 years. A physical examination revealed dorsal flexion deficit of the left foot, superficial paraesthesia, and dysesthesia of toes associated with impaired deep sensitivity. In addition, he presented paraesthesia and dysesthesia to the IV and V fingers of the left hand. The left ulnar nerve was palpable and enlarged on the left elbow and no cutaneous lesions were found. The research of Acid-Fast Bacillus (AFBs) in the nasal swab and the slit skin smears from earlobes and left elbow was negative. Motor and sensory action potential of the left ulnar nerve, left peroneal nerve, left anterior and posterior tibial nerves are suggestive of mono-neuritis multiplex. Magnetic Resonance Imaging (MRI) of the left elbow showed the enlarged ulnar nerve partially damaged by entrapment within the fibro-osseous tunnel. Neurosurgery allowed the debridement of the ulnar nerve and, at the same time, the scraping of the perineural tissue. ZN stain and PCR of the scraping were positive for the presence of To the best of our knowledge, this is the first case of PNL diagnosed through scraping, ZN staining, and PCR test. Scraping is a technique that allows obtaining a clinical specimen rubbing a part of the body, in our case myelin sheaths of a nerve. The surface is scraped with a 15 Bard-Paker blade held at a right angle to the incision. Upon scraping, perineural tissue is obtained and examined by ZN staining and PCR test. Traditionally, diagnostic criteria for the diagnosis of PNL consist of nerve tissue samples obtained out of a nerve biopsy, analysis of PCR, and measure of anti-PGL-1 antibody levels.None declared.Ilaria Trave: Conception and planning of the study; elaboration and writing of the manuscript; approval of the final version of the manuscript; obtaining, analyzing, and interpreting the data; effective participation in research orientation; intellectual participation in propaedeutic and/or therapeutic conduct of the cases studied; critical review of the literature; critical review of the manuscript.Alberto Cavalchini: Conception and planning of the study; elaboration and writing of the manuscript; approval of the final version of the manuscript; obtaining, analyzing, and interpreting the data; effective participation in research orientation; intellectual participation in propaedeutic and/or therapeutic conduct of the cases studied; critical review of the literature; critical review of the manuscript.Gianfranco Barabino: Conception and planning of the study; elaboration and writing of the manuscript; approval of the final version of the manuscript; effective participation in research orientation; intellectual participation in propaedeutic and/or therapeutic conduct of the cases studied; critical review of the literature; critical review of the manuscript.Aurora Parodi: Conception and planning of the study; elaboration and writing of the manuscript; approval of the final version of the manuscript; obtaining, analyzing, and interpreting the data; effective participation in research orientation; intellectual participation in propaedeutic and/or therapeutic conduct of the cases studied; critical review of the literature; critical review of the manuscript.None declared."}
+{"text": "In 2021, NIH funded six high-priority research networks designed to develop resources to support and advance the study of emotional well-being (EWB) and its core components. These research networks aim to advance the field by facilitating transdisciplinary research in the social, behavioral, psychological, biological, and neurobiological sciences. The National Institute on Aging (NIA) co-sponsored the RFA, and provided funding for NEW Brain Aging, because of the central importance of EWB to health trajectories across the adult lifespan. In this presentation, Dr. Simmons, Chief of the Individual Behavioral Processes Branch within the NIA Division of Behavioral and Social Research (BSR), will discuss how EWB research fits within NIA priorities. She will then facilitate open discussion about NIA and BSR\u2019s vision for the EWB \u2018network of networks,\u2019 the synergy of NEW Brain Aging with other members of the larger network, and the opportunities these networks will provide for investigators interested in EWB."}
+{"text": "The National Health and Aging Trends Study (NHATS) is a nationally representative sample of Medicare beneficiaries aged 65 and older. From 2011 through 2020, annual in-person interviews have collected data in many areas, including health, environment, wellbeing, cognition, and function. With a decade of follow-up, including replenishment samples, NHATS is an ideal setting to investigate trends and trajectories of aging. Aging is heterogeneous and understanding the myriad of factors and functions that impact health and wellbeing is critical to developing interventions and care to promote health and wellbeing. Considering a multifactorial, wholistic approach to aging will provide a deeper understanding to create an impact. This symposium features pivotal research conducted using NHATS data, while highlighting overall strengths of the dataset for future research. The first presentation of this symposium investigates the factors that define cognitive profiles associated with dementia diagnosis over a period of five years. The second presentation investigates the role engagement in personally meaningful activities play in cognitive, emotional, functional, and health-related outcomes in older adults. The third presentation investigates the association between sleep medication use and fall risk among older adults with and without dementia. The session concludes with an investigation of end-of-life communication in persons with dementia and hearing impairment."}
+{"text": "Nipah virus (NiV) first emerged in 1998 in Malaysia, causing an outbreak of respiratory illness and encephalitis in pigs. Pig-to-human transmission of NiV associated with severe febrile encephalitis was described, and it was thought to occur through close contact with infected animals. The first outbreak was reported in India in Siliguri, West Bengal in 2001 followed by Nadia, West Bengal and adjoining areas of Bangladesh in 2007, where an intermediate animal host was not identified, suggesting bat-to-human and human-to-human transmissions. Although it is extremely difficult to document the spillover event and ascertain crossing of trans-natural boundaries by bats and bringing new viruses in an unexposed population, efforts for source identification are important to understand the epidemiology of disease. As the disease transcends beyond one species and has shown to infect humans, it therefore requires the \u2018One Health approach\u2019 in which multiple sectors coordinate and work together to achieve better public health outcomes.We summarize the re-emergence and response of the Nipah virus outbreaks (NiVD) in Kerala, India, about 1800 kms away, a decade later in 2018 and 2019. The paper recapitulates involvement of various stakeholders from the Ministry of Health and Family Welfare, Directorate of Health Research, Indian Council of Agricultural Research, State Health Department, State Animal Husbandry, District Administration, and multidisciplinary response mechanism during the NiVD outbreaks of 2018 and 2019.Information was collected from the Press Information Bureau (PIB), media/weekly alerts from the Integrated Disease Surveillance Programme (IDSP), news articles from print and electronic media, newsletters, advisories from the National Centre for Disease Control (NCDC), Disease Outbreak News (DON), World Health Organization (WHO), and published papers from various stakeholders.The evidence of NiV in humans and bats, with samples collected from the outbreak sites, was laboratory confirmed. The multidisciplinary response mechanisms during the 2018 outbreak helped in further understanding the importance of the One Health approach for systemic and streamlined response utilizing existing surveillance systems. This was of utmost help in the subsequent outbreak of the disease that occurred during 2019, wherein there was no documented spread of disease from the index case and no mortality was observed. This success reiterates the need for institutionalizing the involvement and cooperation of various departments and organizations during public health emergencies, especially of Zoonotic diseases, using the One Health approach. Nipah Virus (NiV) belongs to the family paramyxovirdae genus Henipavirus with a broad host range. NiV was initially identified to be responsible for outbreaks of febrile respiratory illnesses among veterinary stock. Selected species of bats are being increasingly recognized as reservoir hosts for viruses that can cross species barriers to infect humans, other domestic, and wild mammals. NiV infection in humans causes a range of clinical presentations, from asymptomatic infection to acute respiratory infection and fatal encephalitis .Fruit bats of the Pteropodidae family are the natural host of NiV . The infWe summarize the re-emergence of the Nipah virus disease (NiVD) outbreaks (2018 and 2019) in Kerala, India about 1800 kms away, a decade later from the previous ones West Bengal (2001) and adjoining areas of Bangladesh (2007). We also recapitulate the systemic and combined efforts of various stakeholders, including Central as well as State authorities, for effective and timely management of these recent outbreaks. The steps taken by all the stakeholders to mount an effective response led to successful containment of the outbreak and prevented its spread to other neighboring districts and states, limiting it to a localized event. This success also reiterates the need for involvement and cooperation of various departments and organizations during public health emergencies, especially of Zoonotic diseases and dealing with them using the One Health approach. The One Health approach aims to establish an inter-sectoral coordination mechanism at National, State, and District levels, and utilizes the existing surveillance systems of various stakeholders to detect early warning signals of impending outbreaks for timely and effective public health response; also, it facilitates sharing of relevant information within the stakeholders for taking necessary action.After reports of an emergence of NiVD cases in Kerala in (2018 and 2019), a multi-disciplinary Central team was deputed, at the direction of the Union Health Minister, to review and respond to the situation of the NiVD in Kerala. Multi-disciplinary central teams were deployed at the sites to provide assistance to the local state authorities in investigating and responding to both the outbreaks; they consisted of public health experts, microbiologists, neurologists, and other infectious disease experts. These experts came from several organizations, including the National Centre for Disease Control (NCDC), Delhi and Calicut, Emergency Medical relief (EMR), MoHFW Delhi, All India Institute of Medical Sciences (AIIMS), Delhi, National Institute of Mental Health and Neuro-Sciences (NIMHANS), Bangalore, and National Institute of Virology Pune (NIV). Experts from the National Institute of High Security Animal Diseases (NIHSAD), Bhopal were also involved, along with the local Animal Husbandry Department 56.5Figure 1 and Table 1.As the state had a very recent experience in dealing with the NiVD outbreak, resulting in an already existing network of inter-sectoral coordination in 2018, an available set of guidelines and an expert team of doctors with past experience were already at hand for handling the outbreak of 2019 . The varThe first outbreak of NiVD was reported in India in District Siliguri, West Bengal in 2001 (66 probable cases and 45 deaths) followed by an outbreak in District Nadia, West Bengal and adjoining areas of Bangladesh in 2007 (5 probable cases and 5 deaths). As any intermediate animal host was not identified, bat-to-human and human-to-human transmissions were suggested 9.The unusual event apparently started with the death of a 26-year-old male resident of Block Perambra at the PHC-Changaroth on 5 May 2018, who was clinically diagnosed with viral encephalitis at the Government Medical College Hospital, Kozhikode on 4 May 2018. Two weeks later, two members of the same family reported with similar symptoms, deteriorated rapidly and died while in treatment at a private tertiary care hospital. Then, a cluster of three cases of viral encephalitis was reported from the same area. Subsequently, six more persons succumbed to similar symptoms, including a staff nurse of the taluk hospital involved in treatment of the primary/index case. All the affected cases were found to be epidemiologically linked with a confirmed case/death. Laboratory testing of throat swabs, urine, and blood samples collected from four suspected patients was conducted by the National Institute of Virology, Pune; three of the four reported deaths were confirmed positive for NiV by real-time polymerase chain reaction (RT-PCR) and IgM Elisa for NiV, and thereafter many more. A total of 19 cases and 17 deaths were reported through 3 June 2018 1112. The11On 30 May 2019, a 23-year-old male resident of Vadakkekara Village, Paravur Block, Ernakulam District, Kerala, having fever with altered sensorium, was referred to a private hospital at Eranakulam. A throat swab, CSF, blood, and urine samples were collected. The samples tested positive and were confirmed for NiV by NIV Pune. A total of 330 contacts were traced and samples from all the 13 suspected cases were tested and found negative for NiV 16. ErnakFor early detection, monitoring, and response to epidemic-prone disease outbreaks (including NiVD), the Government of India is doing surveillance through the Integrated Disease Surveillance Program (IDSP) and providing technical and financial support to all states under the National Health Mission (NHM). The NiVD guidelines for case definitions and contacts, advisories for healthcare personnel, information for the general public, treatment guidelines, sample collection, and transport guidelines were framed by IDSP and NCDC 19.The District Rapid Response Teams, along with the central multidisciplinary team, investigated the outbreaks in 2018 and 2019. House to house active case searching and contact tracing was done. Nipah cell of the state was established for contact tracing and ensuring home quarantine. Control rooms were set up at the State Headquarters and District Headquarters. Core committee daily review meetings were held under the chairmanship of the State Health Minister and District Collectors. Central teams reviewed the treatment procedure, infection control practices, use and availability of personal protective equipment (PPE), and availability of drugs, particularly in the designated hospitals 56.5Standard contact, droplet, and airborne precautions were emphasized during patient care and aerosol generating procedures to prevent human to human transmission while managing probable/suspected or confirmed cases of NiVD . To cont23The NiVD outbreak in 2018 was a major event with a very high case fatality rate (CFR), as characteristic of NiVD; however, the subsequent outbreak can be termed as a minor event. The primary cases in both outbreaks could have been infected by an accidental spillover from NiV infected bats or food sources contaminated by their secretions. However, in the 2018 outbreak, the initial spillover event may have been amplified by person-to-person transmission in the hospital settings, as subsequent cases were either close family contacts or hospital contacts. These two episodes are likely to be isolated/localized incidents.The unexpected sudden death of an otherwise healthy young male during the 2018 outbreak could have generated early warning signals only if such unusual events were reported diligently. As all the cases were epidemiologically linked to the index case, , subsequent infection/mortality could have been prevented if the infection control practices and BMW management practices at various levels of healthcare centers were stringently followed. Thus, adequate quantities of PPE and other logistics were ensured in the district at the earliest. Standard precautions and safe BMW practices were also emphasized while handling the deceased, patient specimens, used PPE, linen, clothing of patients, cleaning, and waste disposal activities at all levels of healthcare centers.Lack of an upgraded virus testing laboratory in the state, especially for dealing with BSL-3 or 4 pathogens, poses an additional burden of sample transportation with biocontainment precautions and delayed response during such outbreak situations . The neePteropus giganteus bats were found positive for NiV by RT-PCR [Pig-to-human transmission of NiV associated with severe febrile encephalitis has been described in past NiVD outbreaks . Human-ty RT-PCR .Pteropus sp were positive for anti-NiV IgG antibodies. As per genetic analysis of NiV conducted by ICMR- NIV (Pune) and NIV , a distinct cluster of NiV sequences suggested the circulation of a new genotype (I-India) in South India, which is different from the Bangladesh and Indian northeast NiV strains [During the 2019 outbreak, one rectal swab sample (out of 141 swab samples of bats) and 3 bat visceral organs (out of 92 bats) were found positive for NiV. Interestingly, 20.68% (12/58) of strains . No clinIn absence of a clearly identified primary source of infection to the index/primary case, many unscientific and misleading reports on the possible transmission of disease from fruits, such as mangoes, lychees, dates, bananas, etc., created fear and trepidation in the community . Due to The establishment of strong surveillance and multidisciplinary response mechanisms during the 2018 outbreak was of utmost help in mounting a systematic and organised response rapidly and effectively during the 2019 outbreak, preventing significant human transmission and mortality.The clinical care of patients with suspected or confirmed highly pathogenic infectious diseases is a real challenge for healthcare facilities . A separThe conventional clinical diagnostic procedure required for confirmation of highly infectious disease requires advanced biocontainment laboratories, high-end (and costly) instruments, an expert technician for operation and result interpretation, and longer turnaround time. The technical advancements in research and translation to development of PoCT facilities must be encouraged, which will elevate the clinical diagnostic scenario in resource-limited settings.As per the ensuing bat breeding season, NiVD advisories must be issued to clinicians in affected areas for high index of suspicion and appropriate infection control practices both in public and private sectors . The timPrint and electronic media, social activists, community leaders, and nongovernment organizations play an active role in early case reporting, social mobilization, and the raising of public awareness, which is essential in the rapid control of any outbreak. To prevent the spread of false information, officers must be designated to give authentic information to the media. Correct information helps in managing panic amongst the general public, which can otherwise affect the containment efforts of authorities. A grassroots approach to public health was exercised with success in the NiVD outbreak through consistent public health messages delivered at the community level and steered at the state level, with strategic co-ordination by central government and collaboration with local government .The district, subdistrict, and block-level administrations, along with elected people\u2019s representatives, should be involved in discussions not only during outbreaks, but also prior to the season, to highlight the possibility of an outbreak from endemic- and epidemic-prone diseases. Possible prevention measures can be discussed at routine intersectoral monthly meetings chaired by district or sub-district administrators, leading to better coordination and cooperation at the community level .As spring is the probable breeding season for bats and the preliminary observations with regards to time of occurrence of both events is May\u2013June, this indicates a higher probability of the presence of the virus among bats, and therefore a spillover, during breeding season . FurtherWhen NiV infections are suspected, standard contact and droplet precautions and infection control practices must be promptly strengthened to avoid spillovers in healthcare facility settings, both public and private. Further, in view of emerging NiV infection in the last decades in newer areas, countrywide strengthening of existing disease surveillance systems and multidisciplinary response mechanisms is necessary to enable rapid detection of rare zoonotic diseases, such as NiVD, as is the institution of appropriate control measures with One Health strategy."}
+{"text": "The myth of a \u201ctypical\u201d mitochondrial genome (mtDNA) is a rock-hard belief in the field of genetics, at least for the animal kingdom . The firThe present Special Issue is an attempt to set and assess the state-of-art of mitochondrial genomics, with special reference to the suitability of mtDNAs for phylogenetic inference. The work by Formaggioni and colleagues opens thOvis nivicola) using the well-exploited mitochondrial gene cytochrome b.Furfaro and Mariottini ,9 demonsTheileria parva are identified using mitochondrial single nucleotide polymorphisms in the work by Mwamuye and colleagues [Unio crassus from Eastern Europe is unraveled by Kilikowska and colleagues [Crassostrea angulata is addressed by Chiesa and colleagues [Arrenurus (Micruracarus) novus by means of morphology interwoven with the sequence of mitochondrial genes cox1 and cytb at different life stages.Several example of mtDNA-based population genetics are provided. Different strains of the cattle protozoan parasite lleagues ; the poplleagues using onlleagues . Converslleagues provide Aedes, who found a strong and consistent incongruence between nuclear and mitochondrial phylogenetic inference , whose disentanglement is thoroughly discussed. Finally, Xia [Mitochondrial phylogeny and comparison with nuclear data is the main purpose of the work by Zhao and colleagues on two slly, Xia reports Pseudocercospora fijiensis (Ascomycota: Pezizomycotina), as well as the phylogenetic reconstruction of the family Mycosphaerellaceae, providing clues for multiple invasions on introns within mitochondrial genes. Conversely, Johansen and colleagues [Stichodactyla haddoni, that shows group I introns harboring expressed open reading frames and supernumerary genes, and challenges current views of the Actiniidae taxonomy.Furthermore, new complete mtDNAs are hereby reported. Arcila-Galvis and colleagues present lleagues present Concluding, the present Special Issue highlights the effectiveness of mitochondrial-based analyses in different fields of evolutionary biology, on one hand, while highlighting future, promising perspectives of research in the field of mitochondrial genetics, on the other hand, a field where unexpected is expected and the exception is the rule."}
+{"text": "Nodularia douglasiae, while the other was N. nipponensis.We determined the complete mitochondrial sequences of female-transmitted (F) mitogenomes of two unionid specimens from the Lake Biwa system, Japan. Their gene contents and orders agreed with those of the typical F mitogenome of freshwater mussels. Molecular phylogenetic analysis using 20 previously identified partial COI and seven (five previously identified and two newly determined) whole mitogenome sequences revealed that one of the two mitogenomes was that of Nodularia species in Japan: Nodularia douglasiae and N. nipponensis , the former occurring on Kyushu and Honshu Islands in the area along the Sea of Japan, and the latter being endemic to northern Honshu and Hokkaido. Before the new classification, however, two subspecies were recognized in Japan under the name, Unio douglasiae Gray, 1833: Unio douglasiae nipponensis Martens, 1877 and Unio douglasiae biwae Kobelt, 1879, with the latter endemic to the Omi Basin (Lake Biwa and adjacent area) on Honshu and the former occurring widely in Japan with the exception of the Omi Basin are burrowing, filter-feeding bivalves. They occur in lakes and rivers worldwide but are now declining in many countries , under the registration numbers LBM-1300014505 and 1300014533. Genomic DNA was isolated from foot muscle tissue, and sequenced using Illumina MiSeq and HiSeq X Ten sequencers (Illumina). The resultant reads were assembled using CLC Genomic Workbench . Contigs were annotated by alignment with the two female (F)-transmitted mitogenomes of N. douglasiae (LC496352 and NC_026111) . The phylogenetic positions of the two mitogenomes indicated that one was that of N. nipponensis , while the other was the new N. douglasiae. This result demonstrated that there are two mitogenome lineages of Nodularia in the Omi Basin, unlike the previous classification hypothesis of Kondo (U. douglasiae biwae).The resulting supermatrix tree containeof Kondo , which r"}
+{"text": "Objective: The efficacy and safety of adjunctive magnetic seizure therapy (MST) for patients with schizophrenia are unclear. This systematic review was conducted to examine the efficacy and safety of adjunctive MST for schizophrenia.Methods: Chinese and English databases were systematically searched.Results: Two open-label self-controlled studies (n = 16) were included and analyzed in this review. In these studies, the Positive and Negative Syndrome Scale (PANSS) total scores and Brief Psychiatric Rating Scale (BPRS) total scores significantly decreased from baseline to post-MST , without serious adverse neurocognitive effects. Mixed findings on the neurocognitive effects of adjunctive MST for schizophrenia were reported in the two studies. A discontinuation rate of treatment of up to 50% (4/8) was reported in both studies. The rate of adverse drug reactions (ADRs) was evaluated in only one study, where the most common ADRs were found to be dizziness and subjective memory loss .Conclusion: There is inconsistent evidence for MST-related adverse neurocognitive effects and preliminary evidence for the alleviation of psychotic symptoms in schizophrenia. Schizophrenia is a severely disabling psychiatric disorder affecting ~1% of the population worldwide . The ecoECT is the most effective treatment for individuals suffering from schizophrenia , 23 and MST is a novel neurotherapeutic intervention that induces therapeutic seizures based on high-frequency rTMS \u201334. MST To date, no systematic review on the efficacy and safety of adjunctive MST for schizophrenia has been published. Therefore, the target of the current study was to investigate the efficacy and safety of MST as an adjunctive therapy in schizophrenia.PICOS criteria. Participants: adult subjects with a diagnosis of schizophrenia based on any standardized diagnostic instruments. Intervention vs. Comparison: treatment as usual (TAU) plus MST vs. TAU plus ECT (RCTs); MST added to TAU . Outcomes: in this systematic review, the primary outcome was the improvement of psychotic symptoms, as measured by the Positive and Negative Syndrome Scale (PANSS) or Brief (PANSS) . Key secTwo investigators (XYZ and XHY) independently searched English and Chinese databases from the date of inception until October 6, 2021 for studies on adjunctive MST for schizophrenia using the following search terms: (\u201cmagnetic seizure therapy\u201d[Mesh] OR magnetic seizure therapy OR MST) AND . Similarly, two independent investigators (XYZ and XHY) evaluated whether the potentially relevant studies fulfilled the inclusion criteria of this systematic review, and the senior author (WZ) was consulted in case of any differences of opinion.Two investigators (XYZ and XHY) independently extracted data from each included study. Any discrepancies in data entry between the two investigators (XYZ and XHY) were discussed, and the senior author (WZ) was consulted as needed. We contacted the first and/or corresponding authors to acquire any missing information as necessary. The quality of each included RCT and open-label prospective trial was evaluated by two independent investigators (XYZ and XHY) using the Cochrane risk of bias and the As shown in n = 16) (The characteristics of the two open-label self-controlled studies (n = 16) , 21 are n = 16) , and then = 16) and a flThe Cochrane risk of bias was not used because no RCTs were included in this systematic review. The NOS scores of the two self-controlled studies , 21 werePs<0.05). In Jiang et al.'s study , but no such decrease was found using the MATRICS Consensus Cognitive Battery (MCCB), Trail Making Test (TMT), Stroop Test or Verbal Fluency using the Controlled Oral Word Association Test (COWAT), and Montreal Cognitive Assessment (MoCA) ( > 0.05) .In both studies, discontinuation of MST for any reason was reported for 50% (4/8) of the participants , 21. TheThis article is the first systematic review on the efficacy and safety of MST as an adjunctive therapy for schizophrenia. Only two open-label self-controlled studies , 21 wereThis systematic review shows there is preliminary evidence for the antipsychotic effects of MST in schizophrenia and negligible neurocognitive adverse effects. As reported in the two included studies , 21, theAs for other neurotherapeutic strategies, such as tDCS, DBS, or ECT, the main objective in investigating MST is to monitor the effects on neurocognition. The findings of this systematic review are that MST has little to no adverse neurocognitive effects, supporting the findings of an early study . HoweverThis systematic review is limited for the following reasons. First, only two open-label self-controlled studies , 21 withThere is inconsistent evidence for MST-related adverse neurocognitive effects and preliminary evidence for the alleviation of psychotic symptoms in schizophrenia. RCTs with an optimal sample size need to be performed on the use of adjunctive MST for schizophrenia to confirm and extend these findings.The original contributions presented in the study are included in the article/X-YZ and X-HY selected studies and extracted the data. WZ reviewed all the data and helped mediate disagreements. X-YZ, WZ, and D-BC wrote the first draft. All authors contributed to the interpretation of data and approved the final manuscript.This study was funded by the National Natural Science Foundation of China (82101609), Scientific Research Project of Guangzhou Bureau of Education (202032762), Science and Technology Program Project of Guangzhou (202102020658), the Science and Technology Planning Project of Liwan District of Guangzhou (202004034), Guangzhou Health Science and Technology Project (20211A011045), Guangzhou science and Technology Project of traditional Chinese Medicine and integrated traditional Chinese and Western medicine (20212A011018), China International Medical Exchange Foundation (Z-2018-35-2002), Guangzhou Clinical Characteristic Technology Project (2019TS67), science and Technology Program Project of Guangzhou (202102020658), and Guangdong Hospital Association (2019ZD06). The funders had no role in study design, data collection and analysis, decision to publish, or preparation of the manuscript.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest.All claims expressed in this article are solely those of the authors and do not necessarily represent those of their affiliated organizations, or those of the publisher, the editors and the reviewers. Any product that may be evaluated in this article, or claim that may be made by its manufacturer, is not guaranteed or endorsed by the publisher."}
+{"text": "OBJECTIVES/GOALS: The University of Rochester CTSI Research Education Hub is designed to: 1) connect the local research community with essential internal and external educational resources; 2) create a community of inquiry and collaboration across the translational science workforce pipeline within the university. METHODS/STUDY POPULATION: The Research Education Hub (RE-Hub) utilizes the university\u2019s widely used Learning Management System (LMS), Blackboard, and accessible to anyone at the university with a BlackBoard account. The RE-Hub greets users with an overview, an introduction of key local faculty experts in relevant research methodologies, and links to institutional research programs and helpdesks. Users are provided with curated educational resources organized by topic areas including, but not limited to, research methodology, statistical analysis, and grantsmanship. Discussion boards were created for users to ask general research questions and to connect with others in the translational research community. RESULTS/ANTICIPATED RESULTS: The RE-Hub was designed in Fall 2019 with the purpose of increasing utilization of university resources, including workshops, seminars, methods forums and consultation resources to improve translational science at the university. The RE-Hub was designed to be flexible and responsive to the changing needs of the local research community. User feedback will be used to identify improvements in the organization and content of the RE-Hub. Future improvements will include additional topic areas that span translational competencies, additional materials added to existing topic areas, and facilitation of better collaboration and integration of career development programs and grantsmanship resources. DISCUSSION/SIGNIFICANCE OF IMPACT: The Research Education Hub provides the University of Rochester translational science research community with a space to explore educational resources, to interact with colleagues and ask research related questions, and to help develop and/or improve other educational programs at the university."}
+{"text": "Although polyhydroxyalkanoates were discovered over 100 hundred years ago, and have been used for many applications , the majTo solve these bottleneck barriers, large members of research institutes and industries have contributed their endeavors in this developing field. Other than polyhydroxyalkanoates, semi-synthesized polylactic acid (PLA) has become another bulk commercialized biopolyester with acceptable unit cost and promising material properties . Other nMoreover, the diversity of bio-monomers has increased in recent years . In addiNduko and Taguchi have provided insights into the history for the development of lactate containing polyesters/oligomers, and the applications of variable lactate containing polyesters/oligomers (as macromonomer building blocks). Relating to the use of non-food feedstocks in the bioproduction of polyesters, Sun et al. and Moriya et al. present their updated studies on the microbial production of poly(3-hydroxybutyrate) from a broader-range of non-food substrates. Relating to the microbial production of medium chain-length polyhydroxyalkanoates, Scheel et al. reported a fermentation protocol which can be applied to control the copolymer composition to exhibit increased flexibility and elasticity in a series of medium chain-length poly. Harada et al. present a study on the microbial production of medium chain-length poly by application of an engineered polyhydroxyalkanoate synthase, which significantly improved the 3-hydroxyhexanoate (3HHx) fraction in the copolymers. Dartiailh et al. studied the effects of monomer composition on the thermal and mechanical properties of medium chain-length polyhydroxyalkanoate synthesized by Pseudomonas putida cultured with different substrates.In this Research Topic, a number of experts contributed their updated research outcomes or opinions regarding the strategies to improve the microbial production of polyester. From the perspective of microbial production of novel lactate containing polyesters and oligomers, It is hard to forecast the future of polyester industries, but we believe biopolyesters will have a promising future, based on: the availability of renewable and sustainable bio-feedstocks to support the bioproduction of polyesters; consumer demand for biodegradable and bioassimilatable materials based on renewable biopolymers; industries and research institutes that are eager to develop renewable and degradable polyester products; and the increasing application of advanced biotechnologies and materials science techniques that are being applied in this field.Enjoy reading!"}
+{"text": "Waste electronic and electrical equipment (e-waste) consists of used and discarded electrical and electronic items ranging from refrigerators to cell phones and printed circuit boards. It is frequently moved from developed countries to developing countries where it is dismantled for valuable metals in informal settings, resulting in significant human exposure to toxic substances. E-waste is a major concern in Africa, with large sites in Ghana and Nigeria where imported e-waste is dismantled under unsafe conditions. However, as in many developing countries, used electronic and electrical devices are imported in large quantities because they are in great demand and are less expensive than new ones. Many of these used products are irreparable and are discarded with other solid waste to local landfills. These items are then often scavenged for the purpose of extracting valuable metals by heating and burning, incubating in acids and other methods. These activities pose significant health risks to workers and residents in communities near recycling sites. E-waste burning and dismantling activities are frequently undertaken at e-waste sites, often in or near homes. As a result, children and people living in the surrounding areas are exposed, even if they are not directly involved in the recycling. While toxic substances are dangerous to individuals at any age, children are more vulnerable as they are going through important developmental processes, and some adverse health impacts may have long-term impacts. We review the e-waste situation in Africa with a focus on threats to children\u2019s health. How to safely dispose of waste products coming from human activity is a global problem. Often in countries without adequate regulation, wastes are simply discarded. Most countries put wastes into landfills, but without adequate control landfills stink, leachate coming from the landfill can contaminate water and methane escaping from degradation of organic material contributes to climate change. In addition, landfills often attract vermin than can cause and spread disease. In many poor countries, people\u2014including children\u2014scavenge landfills for items of value, increasing risk of injury, infection and exposure to dangerous substances. Incineration is an alternative to landfills, but if incinerators are not operated with appropriate controls, they release toxic metals and dioxins that have the potential to cause significant harm to human health ,2. The harm to the environment is made worse when the discarded material is not readily degradable, as is the case with plastics that now contaminate land, lakes, streams and even the ocean. About eight million metric tons of plastics enter the oceans each year . HazardoThe term electronic and electrical waste (e-waste) refers to \u201celectrical or electronic equipment, which is waste, including all components, subassemblies, and consumables, which are part of the equipment at the time the equipment becomes waste \u201d. E-wastIn 2019, the world generated an estimated 53.6 million metric tons (Mt) of e-waste, or an average of 7.3 kg per person . FurtherThe value of the raw materials in global e-waste is estimated to be 57 billion USD, with iron, copper and gold contributing the most . In someE-waste includes many substances that are dangerous to the health of humans and the environment if released in an unsound manner. E-waste recorded in 2019 contained as much as 50 tons of mercury and 71 kt of brominated flame retardants . The impWhile there is significant exposure risk to all individuals who are involved in informal e-waste recycling childrenPeer-reviewed publications within the past 15 years related specifically to e-waste in Africa were assembled based on searches on academic research publication databases including PubMed, Science Direct, and Google Scholar. Publications, governmental and regulatory agency reports, and guidelines, were obtained through formal and informal sources. Keywords used to search the literature were: e-waste in Africa, WEEE in Africa, used electronic equipment in Africa, African e-waste management, e-waste regulations and guidelines in Africa, health effects of e-waste chemicals in Africa, African children\u2019s exposure to e-waste chemicals and impacts, countries exporting e-waste to Africa, and African countries most affected by e-waste. Tsydenova and Bengtsson reviewedLandfills in African countries containing e-waste have shown elevations of many different potentially hazardous metals . Soils aE-waste is recognized as a resource as it contains valuable materials . HoweverThese methods result in severe air pollution containing many toxic substances around e-waste recycling areas. Particulates and other air pollutants are inhaled by workers and nearby residents. In addition, chemicals escape and may contaminate dust, soil, and water in communities around dump sites leading to additional routes of exposure, such as dermal contact and consumption of contaminated food and water . E-wasteLead: Lead is a well-known neurotoxin . Ho. Ho11]. The care and management of e-waste in African countries is either poor or non-existent. The management of e-waste in African countries is a major contributing factor to high levels of pollution and hence the adverse effects on humans, animals, and the environment . Few AfrOn the Ban of the Import into Africa and the Control of Transboundary Movement and Management of Hazardous Wastes within Africa, was set up in 1991 to ban the importation of toxic substances from developed countries into African countries. The East Africa Communication Organization (EACO), formed in 2012, has developed working groups to address e-waste issues in its member nations. EACO has held a range of regional conferences and has produced several reports and strategies addressing e-waste management, awareness, and the status of e-waste in member nations. EACO also aims to train national representatives in better e-waste management, facilitating interventions, and the development of more reliable regional and national statistics. At a national level, the e-Waste Association of South Africa (eWASA) was formed in 2008 to establish sustainable and environmentally friendly ways of managing e-waste. Its members include electronics manufacturers, importers, and retailers. eWASA has struggled to affect the import of e-waste in South Africa. One reason for this is that e-waste and its economic benefits have been championed by business-people who may not consider or be aware of short- and long-term health impacts due to exposure of inappropriately recycled e-waste [The Bamako Convention, e-waste . At the e-waste . In Marc e-waste . Other S e-waste . Interventions targeting e-waste are desperately needed in African countries. At international and regional levels, interventions need to target the illegal importation of e-waste, including the better training of inspection officers and better management techniques, without depriving recyclers of their source of livelihood. The International Labor Organization (ILO) has produced strategies on ensuring the safety of e-waste workers that can be adapted to African contexts . At natiAwakening environmental awareness, increased environmental regulation and associated disposal costs in developed countries in the 1970s and 1980s led to incidents of uncontrolled transboundary movements of hazardous wastes and, at times, intentional dumping in developing countries, including in the African region. In response, the global community adopted the Basel Convention on the Control of Transboundary Movements of Hazardous Wastes and Their Disposal on 22 March 1989 and entered into force in 1992. The main objective of the Basel Convention is the protection of human health and the environment against the adverse effects resulting from the generation management, transboundary movement, and disposal of hazardous and other wastes.E-waste can fall under several entries in the annexes to the Basel Convention. In 2019, the \u201cBan Amendment\u201d to the Basel Convention entered into force, prohibiting the transboundary movement of hazardous wastes controlled under the convention destined for final disposal operations from parties listed in Annex VII (Organization for Economic Co-operation and Development (OECD), the European Commission countries and Liechtenstein) to all other States. The Ban Amendment also prohibits transboundary movement of hazardous wastes controlled by the convention except for those considered or defined as hazardous by the national legislation destined for reuse, recycling, or recovery operations. The entry into force of the Ban Amendment has significant political weight, acting as a flagship of international efforts to ensure that those countries with the capacity to manage their hazardous wastes in an environmentally sound manner take responsibility for them, while still allowing parties wishing to receive wastes required as raw materials for recycling or recovery industries. The Basel Convention was followed by other important conventions designed to deal with hazardous wastes, as outlined in The Bamako Convention is a treaty of the African countries to ban the import into Africa and to control the transboundary movement and management of hazardous and radioactive wastes within Africa. The need for the Bamako Convention was based on the realization that many developed nations were exporting toxic wastes to Africa. This convention was adopted in Bamako, Mali in 1991 and came into effect in 1998 . The majOstrava DeclarationLegal status: Legally bindingAdoption: 13\u201315 June 2017Entry into force: 15 June 2017Parties: 53 Member States of the WHO European Region (as of July 2021)Objectives: to improve outdoor and indoor air quality as one of the most important environmental risk factors in the region through actions towards meeting the WHO air quality guideline values in a continuous process of improvementScope: to shape policies and actions on environment and health, support the implementation of effective evidence-based policies and advance actions on environment, health, and well-being in the WHO European Region (as of February 2021)Key provisions:Improve air quality for all by ensuring access to safe drinking water, sanitation, and hygiene. Minimize the adverse effects of chemicals. preventing, and eliminating the adverse effects of waste management and contaminated sites. Strengthen adaptation to and mitigation of climate change. Build environmentally sustainable health systemsThe Basel, Rotterdam, Stockholm, Bamako Conventions, and the Ostrava Declaration are multilateral environmental agreements, which share the common objective of protecting human health and the environment from hazardous chemicals and wastes. Meanwhile, membership of any of the above conventions is not universal and compliance for some countries remains a challenge. For example, while most European countries have signed the Basel Convention, there is evidence that some 352,474 metric tons of e-waste are shipped from EU countries to developing countries each year . Therefoadvocacy including awareness raising and campaigns; knowledge and best practice sharing; and the development of a joint intervention model for the implementation of e-waste work at the country level [In 2018, the E-waste Coalition, a group of international organizations working globally and supporting national governments to address the e-waste challenge more effectively and across health and environment, climate and development agendas, signed a letter of intent. The E-waste Coalition has three core functions: ry level . As a mery level . The pilThis article proposes that actions can be taken at the local, national, regional and international levels to combat hazardous exposure to e-waste. At the local level, the health sector can play an important role by working with other sectors, such as labor, education, policy and environment, identifying specific needs within e-waste-affected communities, educating local communities on the health risks of exposure to e-waste and communicating methods to reduce exposure where possible, recognizing and monitoring health effects of exposure to e-waste and prescribing appropriate solutions. At national, regional and international levels, governments and policy-makers need to ratify appropriate conventions, such as the Bamako and Basel Conventions, that regulate and restrict the transboundary movement of hazardous waste, including e-waste, and implement World Health Assembly Resolution 69.4 on the role of the health sector in the Strategic Approach to International Chemicals Management towards the 2020 goal and beyond. At the regional level, countries need to work together to develop more robust data, build capacity and train those responsible for identifying illegal e-waste exports and to ensure that restrictions on transboundary movement of hazardous waste are enforced. National governments need to develop and implement effective waste management legislation that addresses hazardous waste, such as reducing the use of the most hazardous components in electronic and electrical equipment and encouraging safer and more efficient methods of recycling, develop health-related targets and actions for current and future e-waste policies and conduct research on e-waste and its potential health effects in a variety of contexts and locations, and to evaluate the efficacy of interventionsAt national and international levels, the health sector can play an important role by advocating and lobbying policymakers to incorporate strong health protection measures into national waste management policies and new electronics manufacturing initiatives. Across all levels more research is needed to monitor exposure to e-waste, to better understand the health outcomes associated with e-waste and to implement, and provide evaluation, of e-waste interventions. Research is key to providing national governments and international conventions with evidence of the dangers of e-waste exposure, the urgent need for greater regulation and informing effective legislation and controls. At the local level the health sector should be informed and empowered to raise awareness of the risks of e-waste recycling and prescribe appropriate solutions, work with communities at the primary health-care level to educate and engage key agents and implement and monitor the success of interventions that aim to reduce e-waste exposure.E-waste is a global problem due to the desire of people to have the latest electronic device, the rapid development of new devices and the short lifecycle of many electronic devices, such as computers and mobile phones. While almost all electronic and electrical items contain valuable materials, especially metals such as copper, the cost associated with extraction of these valuable materials from most devices in a safe manner and then disposing of the remainder often exceeds the value of the materials that are extracted. This has made recycling of electronic equipment questionably cost effective in most developed countries, leading to illegal exportation to and exploitation of less developed countries that do not have stringent safety regulations. At the same time the informal recycling of e-waste has provided necessary income for many people in developing countries. Workers, nearby residents and especially children living in or near the sites of informal e-waste recycling are being exposed to a variety of dangerous chemicals that impact cognitive function and increase the risk of many different diseases, including respiratory diseases and cancer. African countries have tried to address these problems through the Bamako Convention and a number of regional interventions, but lack of national action, legislation and enforcement has resulted in serious harm to e-waste workers, nearby residents and especially to the health of children. Stronger action and awareness are needed at international, regional, national and local levels to ensure that the health of people, especially children, and the environment is protected from hazardous chemicals found in e-waste."}
+{"text": "Infections are a major cause of premature death. Fast and accurate laboratory diagnostics of infectious diseases is a key condition for the timely initiation and success of treatment. Potentially, it can reduce morbidity, as well as prevent the outbreak and spread of dangerous epidemics. The traditional methods of laboratory diagnostics of infectious diseases are quite time- and labour-consuming, require expensive equipment and trained personnel, which is crucial within limited resources. The fast biosensor-based methods that combine the diagnostic capabilities of biomedicine with modern technological advances in microelectronics, optoelectronics, and nanotechnology make an alternative.The modern achievements in the development of label-free biosensors make them promising diagnostic tools that combine rapid detection of specific molecular markers, simplicity, ease-of-use, efficiency, accuracy, and cost-effectiveness with the tendency to the development of portable platforms. These qualities exceed the generally accepted standards of microbiological and immunological diagnostics and open up broad prospects for using these analytical systems in clinical practice directly at the site of medical care provision .A wide variety of modern biosensor designs are based on the use of diverse formats of analytical and technological strategies, identification of various regulatory and functional molecular markers associated with infectious pathogens. The solution to the existing problems in biosensing will open up great prospects for these rapidly developing diagnostic biotechnologies. The most terrible tragedies of mankind in recent centuries have been associated with the outbreaks and spread of pandemic infections that have claimed hundreds of millions of lives. Despite the obvious success of the global health care system, the risk of epidemics of known, new, and recurring infections remains a serious threat to the world\u2019s population. The bacterial and viral infectious diseases with the fecal-oral mechanism of infection claim about 2 million lives annually. The recent outbreaks of Ebola, Zika, Dengue, Middle East respiratory syndrome, severe acute respiratory syndrome, and H5N1 influenza, as well as the increasing resistance of bacteria to antimicrobial drugs, increase the urgency of searching for new effective diagnostic tools aimed at early and rapid detection of pathogens .With broadening our knowledge on the complex biochemical processes underlying the pathogenesis of infectious processes, it has become necessary to develop more sensitive and highly specific diagnostic strategies. They are based on the identification of molecular markers, profiling of microorganisms without cultivation, enrichment, and isolation of pure cultures. These methods will become ideal analytical tools for controlling pathogenic microorganisms and make a basis for identifying the relationship between molecular structures and biological processes , 4, 5.Classical microbiological and immunoserological methods, as well as modern diagnostic platforms such as ELISA and chemiluminescence analysis, PCR, flow cytometry, and mass spectrometry (MALDI) adopted in recent decades, prevail when accurate verification of infectious agents is needed in centralized laboratories of medical hospitals and centers. However, these diagnostic tools require expensive equipment, long testing times, and qualified personnel, and are not always available for small hospitals, especially under limited economic resources and the decentralized infrastructure of medical facilities , 6, 7.The biosensor technologies that have emerged over recent years and are actively developing serve as innovative platforms for analyzing biomarkers of the infectious process have a high potential to become affordable, fast and reliable in operation, highly specific and sensitive tools for timely and true diagnosis of bacterial and viral diseases , 9. The In the global practice of infectious disease diagnostics, the point-of-care strategy is becoming increasingly important, based on modern molecular diagnostic technologies, including laboratory testing by the medical personnel at the patient\u2019s bedside or self-monitoring of certain laboratory parameters by patients at home , 9.The diagnostic platforms-precursors of this innovative strategy include qualitative and semi-quantitative test systems for identifying specific antigens and antiStreptococcus pneumoniae and Legionella pneumophila urinary antigens with the LFIA method. This has increased the popularity of the universal technology that is equally effective in the sandwich analysis format for both high-molecular antigens of microorganisms and antibodies to them in biosubstrates and low-molecular analytes .According to the definition of IUPAC , biosensThe idea of developing biosensors appeared more than half a century ago, and putting it into practice started , 35. TheIn the modern world, a considerable growth of interest is observed in biosensor technologies, which are rightly considered to be one of the rising trends in the scientific and technical sphere , 38\u201340. Structurally, biosensors are a complex consisting of three main functional segments:a bioreceptor (a biosensing component) with the elements on the sensor plate for recognizing target analytes (target molecules) contained in the biosubstrates;a transducer operating on physical and chemical principles ;an electronic device for signal processing, recording, and displaying data in a convenient form for the researcher .The analysis of the literature demonstrates interest in the development and use of these analytical devices in ecology, toxicology, agriculture, biosafety, and medicine, including the clinical diagnosis of infectious diseases and septic conditions. Over the decades of the development of the biosensing technology, a large number of structurally different sensors and attempts to systematize them have been proposed , 41\u201343.Currently, the biosensor classification is based on the nature of the biochemical component used, the analytical tasks to be solved, the type of signal transducer, the intended application field, and the generated signal. The technical strategies conditioning the ways of further detection (transduction) of the signal/event determine the basic principle of differentiation of the analytical devices , 44.According to this principle, in one of the proposed IUPAC classifications , all bio2 are immobilized on a solid sensor substrate (matrix) by covalent binding or biotin-avidin interaction. They serve for selective binding and identification of target analytes (ligands) in biological fluids [The recognition elements (bioreceptors) are common to all types of biosensors used in biomedical diagnostics: immunoglobulins (antibodies), enzymes , nucleic acids \u201347, micrxtracts) , 49\u201351.When designing highly sensitive biosensors, the correct choice of the matrix and conditions for immobilization of bioreceptors is of key importance. When using non-covalent binding, the receptor is retained on the sensor substrate of the transducer due to electrostatic, van der Waals, or ion interactions that hold the biomolecules fairly firmly. The main advantage of this type of immobilization is that the matrix does not affect the biological properties of the receptor , 26. WitThe new-generation devices more often comprise nanomaterials, the unique catalytic efficiency and adsorption properties of which are ensured by the optimal physical and chemical characteristics of the sensor substrate surface , 40, 54.The mechanism of transmitting a ligand-receptor interaction signal and its transduction is another important functional element of biosensors. Transmission is carried out with electrodes and graphite pastes , 56, 57.The principle of operation of bioreceptors can also be represented as three consecutive stages: recognition of the target ligand in the biosubstrate by a specific bioelement located on the touch panel; transduction of information about the biochemical reaction into the form of an electrochemical signal; transduction of this signal into a form convenient for reading or processing by the researcher , 55, 56.For example, in the biosensors, where the enzymes immobilized on the sensor plates serve as a recognition element, the substrates from the biomaterial in the presence of catalysts enter a biochemical reaction with them. The resulting product is determined with the aid of an electrode that transduces the biochemical reaction into an electrochemical signal, the magnitude of which is proportional to the amount of substrate in the studied biomaterial , 57, 58.In recent decades, the key task of interdisciplinary research into the design of modern biosensors has been to improve the parameters of close interaction of biochemical and physical functional elements in order to increase their sensitivity, selectivity, and reduce the detection limits of target analytes , 59, 60.The progress in the development of biosensor diagnostics of bacterial and viral infections has been achieved mainly due to modern improvements in the methods used for the identification of specific markers , 61\u201364.Escherichia coli or Staphylococcus aureus) integrated on the sensory substrate assimilate target organic compounds from biosubstrates , they themselves acting as a sensitive mechanism [Together with the already used analytical devices, where immunoglobulins and enzymes in the form of bacterial homogenates are applied as bioreceptors, in recent years, whole-cell microbial biosensors have been introduced, in which live natural or engineered microorganisms and its relationship with the patterns of metabolism and growth of microbes were described. These fundamental studies were confirmed in subsequent years by studying the role and structure of DNA and other reporter genes, such as xylE and tfdA, which are currently used actively as a biophysical model for environmental research [The use of reporter genes to identify factors that trigger genetic response in living microorganisms was proposed in the middle of the last century , 35 whenresearch , 66, 67 E. coli, S. aureus, Pseudomonas aeruginosa, and Staphylococcus epidermidis) with concentrations ranging from 102 CFU/ml. Besides, this sensor enabled the differentiation between live bacteria and dead ones.Liu et al. reportedS. aureus, where a bacteriophage with a detection range of 4\u00b7108 CFU/ml was used as a receptor [Another group of researchers proposed a biosensor design for highly sensitive and rapid identification of receptor .Further improvement of microbial biosensors has been due to the emergence of regulatory biosensing associated with advances in molecular genetic technologies and the discovery of new mechanisms for detecting various extracellular and intracellular signals, as well as their subsequent optical and electrochemical transduction , 69, 70.With the development of modern technologies in infectious disease diagnostics and epidemiology, label-free biosensors have become increasingly more widespread. They enable screening of intermolecular interactions and cellular reactions, provide detailed information about the selectivity of bacterial exotoxins and the specificity of antimicrobial agents, the interaction of antigen with antibody, as well as the kinetics of the inflammatory process, immunological and serological reactions , 73.Currently, there is a wide range of analytical devices for analyzing biospecific ligand-receptor interactions in label-free biosensors. In these highly sensitive and functional systems, the binding reactions of the target analyte to the bioreceptor can be studied without the use of any enzyme, radioactive, or fluorescent labels , 74, 75.This type of biosensor requires only one recognition element, which simplifies the analysis scheme, reduces its duration, and the cost of reagents. The current generation of label-free biosensors allows quantitative measurements of biomolecular reaction products in real time, which makes it possible to perform continuous data recording that enables kinetic monitoring of the parameters of the recognition process in ligand-receptor interactions , 78.An important advantage of using label-free biosensors is that the target analytes are detected in their natural form, without labeling or chemical modification, which means that they can be saved for further analysis .In recent decades, numerous studies have been conducted to develop new types of receptors , 68, 73 The optical, (piezo)electrical, or (micro)mechanical transducers are among the promising methods for recognizing ligand-receptor interaction signals in label-free biosensors used for the diagnosis of various infectious diseases. These biosensing methods are enhanced by surface plasmon resonance (SPR) , surfaceThe biosensors with optical transducers, considered as the main tools for signal perception, are one of the most powerful detection and analysis tools widely used in biomedical research and practical medicine , 88, 89.Due to a variety of detection methods using optical transducers in label-free biosensors, the authors of the review limited themselves to the devices that have proved successful in the detection of infectious disease pathogens. The cutting-edge technologies in the design of label-free optical biosensors with the focus on the diagnosis of bacterial infections are associated with the development of modern methods of transduction and new recognition elements (molecular-imprinted polymers) , 90\u201392 .Among the modern technologies used for the clinical diagnostics of bacterial and viral infections, the development of electrochemical methods of optical biosensing based on nucleic acids presents interest. The recognition elements used in these types of analytical devices include DNA, RNA, PNA, and aptamers. For example, nowadays the sensor technology of DNA hybridization based on electrochemical (impedance spectroscopy) and optical methods which recognizes the complementary target DNA chain of a pathogenic microorganism is gaining popularity, , 93, 94.The appearance of aptamer-based biosensors (aptasensors) and recombinant nucleic acids as recognition elements has resulted from the development of new technologies and advances in synthetic aptamer biology , 40, 48.For example, in a recent study by Sheng et al. , they reS. aureus, selected as the target pathogen for their aptosensor in food and water. The quantitative assessment of ligand-receptor interaction in the proposed biosensor variant was performed with specific fluorescent dyes for nucleic acids (Sybr Gold and Sybr Green I). It is noteworthy that rapid detection of the pathogen did not require special sample preparation .The authors demonstrThese modern innovations make optical biosensors more versatile than other types of sensor technologies , 74, 76.In optical biosensors, the use of the transduction method based on the surface plasmon resonance effect and the phenomenon of total internal light reflection is common , 84, 90.If gold (or silver) is sprayed on a hydrogel plate, then another phenomenon occurs associated with the presence of free electrons in this metal(s), which are exposed to the alternating electric field when illuminated. These electrons can collectively vibrate and resonate, adjusting to the frequency of incident light M. tuberculosis biomolecules and non-tuberculosis CFP10 and MPT64 mycobacteria, which, among numerous mycobacteria antigens, interact most strongly with related anti-CFP10 and anti-MPT64 antibodies on the immunosensor matrix.Among the family of optical label-free biosensors, SPR is one of the most accessible, developed, and most successfully used technologies in recent years for the diagnostics of infectious diseases and septic conditions. This is due to the high sensitivity and versatility of this type of sensors, which also allow real-time detection and direct measurement of the kinetics of molecular ligand-receptor interaction , 80. ForThe only drawback of optical label-free biosensors that use prismatic light refraction and SPR effects is their relatively large size, which is incompatible with mobile use in the point-of-care mode , 81. TheM. tuberculosis, mycobacterial proteins, and IFN-\u03b3 cytokine as the most important markers in the early diagnosis of tuberculosis.Label-free optical biosensors have been consistently used for characterization and screening of molecular interactions in clinical laboratories. For example, Golichenari et al. presenteThe majority of modern biosensors intended for the detection of infectious pathogens are based on electrochemical conversion of the signal. These sensors are based on measuring changes in the current, electrochemical potential, and impedancemetry as a means of conversion of biochemical reactions , 47, 85.The advantages of these devices include portability and simple measuring equipment. Together with their cost-effectiveness, high sensitivity, and large linearity detection range, the electrochemical sensors are capable to work with small sample volumes. Moreover, the result is not affected by sample turbidity, unlike the optical methods based on spectroscopic transduction , 100.The analysis of the research results published in recent years has shown that the development of molecular biology methods with the aid of nanotechnology opens up broad prospects for designing new biosensor platforms with highly efficient, highly sensitive, and highly selective detection of molecular infectious biomarkers.Medical biosensors as a new type of diagnostic tools are at the initial stage of their development. However, the first decades of practical application of these analytical devices in healthcare have shown their absolute attractiveness and prospects for detecting bacterial and viral pathogens. The development and implementation of biosensor technologies in clinical laboratory practice is a modern non-alternative strategy for reducing infectious diseases in the regions with a low level of healthcare, where cheap and highly effective diagnostics can play a key role in timely verification of pathogens. The development of inexpensive and affordable analytical devices for clinical diagnostics with lower detection limits for pathogens is necessary due to the importance of diagnosing infectious diseases at the preclinical stage. In this regard, successful experiments in designing and using biosensors for the detection of spore and uncultivated bacteria with an assessment of their viability pose interest , 87, 101This review focuses on a large group of biosensors that are more available and do not need labels for the reproduced signal, but have rather complex transduction systems. However, the future is for simpler and more portable diagnostic analytical systems that do not require complex conversion platforms (surface plasmon resonance and surface Raman spectrometry) and can detect multiple pathogens simultaneously on the base of multiplex analysis. Such biosensors will be able to solve the global problem of effective control of infectious diseases.Modern trends in the development of biosensor medical technologies are associated with the development of new materials for designing transducers and conditions for more effective ligand-receptor interaction. The prospects for expanding the practical applications of biosensor technologies are related to clinical diagnostics which meets the requirements of personalized medicine, and are equally attractive for doctors and patients, particularly when verifying pathogens of infectious diseases.in vivo metabolites, drugs and molecular markers of the infectious process will soon play a leading role.Moreover, one of the key modern trends in the development of clinical laboratory diagnostics is non-invasive testing, which does not involve blood sampling. In this regard, highly sensitive, miniature, and portable medical biosensors with their capability to continuously monitor"}
+{"text": "Dear Editor,Psoriasis is a chronic, immune-mediated and complex inflammatory disease. The immunopathogenesis of the disease involves interferon-gamma (IFN-gamma), tumor necrosis factor (TNF), and specific interleukins (ILs) that coordinate the interaction between inflammatory cells and keratinocytes.IL inhibitors represent a new group of biological agents with greater specificity for the treatment of psoriasis, as they selectively target inflammatory pathways.Ustekinumab is a fully human monoclonal antibody that binds with high affinity and specificity to the p40 protein subunit, shared by cytokines IL-12 and IL-23.43) in patients with no history of recurrent infections and no secondary causes.Benign constitutional neutropenia is an asymptomatic condition characterized by mild chronic neutropenia of 13, Psoriasis Area and Severity Index (PASI) of 12.9 (3.A 44-year-old dark-skinned male patient started follow-up at a dermatology referral service 10 years ago due to severe psoriasis, without joint involvement. He had a previous diagnosis of familial constitutional leukopenia 17 years ago, with a mean leukocyte count of 2600\u00a0mm of 12.9 and, conAfter undergoing the initial tests before starting the immunobiological treatment, which were all within the normal range, treatment with ustekinumab 45\u00a0mg was introduced, with the induction phase taking place in weeks 0 and 4 and then every 12 weeks, associated with calcipotriol, twice a day. The patient showed significant lesion improvement after12 weeks, with residual macules only and currently with PASI 0 . The patEvidence indicates that neutropenia during therapy with ustekinumab is rare, and when it occurs it is mild; therefore, periodic monitoring is recommended.None declared.Jessica Vianna Starek: Approval of the final version of the manuscript; design and planning of the study; drafting and editing of the manuscript; collection, analysis and interpretation of data; critical review of the literature; critical review of the manuscript.Mariana Reis and Rocha Dultra: Approval of the final version of the manuscript; drafting and editing of the manuscript; collection, analysis, and interpretation of data; critical review of the literature; critical review of the manuscript.Cristina Santos Ribeiro Bechara: Approval of the final version of the manuscript; design and planning of the study; drafting and editing of the manuscript; collection, analysis, and interpretation of data; critical review of the manuscript.Juliana de Morais Fernandes Krakheche: Approval of the final version of the manuscript; design and planning of the study; collection, analysis, and interpretation of data; effective participation in research orientation; intellectual participation in propaedeutic and/or therapeutic conduct of the studied cases; critical review of the literature; critical review of the manuscript.None declared."}
+{"text": "For years, restrictive cardiomyopathies have remained poorly understood and resulted in significant morbidity and mortality. These cardiomyopathies are often difficult to diagnose and can be considered orphan diseases that often lack definitive therapies. In the last several years, however, exciting innovation and treatment, particularly in the field of amyloidosis, has spiked new interest and hope for patients and families affected by these diseases.In this issue, we aim to provide a comprehensive update to our readers regarding restrictive cardiomyopathies and also focus on two of the most common restrictive cardiomyopathies, amyloidosis and sarcoidosis. This issue is of special interest to us as guest editors because we both treat patients with these specific conditions, and we appreciate the opportunity to share answers to many clinically relevant questions through the reviews written by experts in the field.The terminology and classification of restrictive (and infiltrative) cardiomyopathies often leads to much confusion. In the introductory article, Drs. Imad Hussain, Smitha Narayana Gowda, and Hyeon-Ju Ali abate the confusion in their broad overview of the definition and classification of restrictive cardiomyopathy (RCM), defined as a heterogeneous group of diseases that cause increased myocardial stiffness leading to impaired ventricular relaxation and severe diastolic dysfunction. While it is the least common type of cardiomyopathy, it can be a diagnostic challenge given varied pathogenesis, clinical presentation, and diagnostic evaluation. In this review, they provide an overview of the rarer etiologies of RCM (excluding amyloidosis and sarcoidosis) and their diagnostic and treatment approaches.The next reviews focus on amyloidosis. Dr. Daniel Judge and colleagues provide a comprehensive overview of the epidemiology, genetics, and prognosis of transthyretin amyloid cardiomyopathy (ATTR-CM). This is an underdiagnosed disease characterized by pathologic accumulation of extracellular protein arising from unstable TTR tetramers. The authors break down the two distinct forms of ATTR-CM, hereditary and wild-type, and summarize the most common genotypes and their phenotypic heterogeneity. In addition, they give an overview of high-risk clinical features and factors that help predict prognosis.Following the ATTR-CM discussion, Dr. Kelty Baker reviews the epidemiology of light chain amyloidosis, the staging systems, and the concomitant prognostication that is critical in determining the appropriate treatment.Dr. Ahmad Masri and colleagues then review the clinical, imaging, and electrocardiographic clues that should raise suspicion for cardiac amyloidosis. They provide a simplified diagnostic workup algorithm to ensure an accurate diagnosis. The evolution of the noninvasive diagnosis of cardiac amyloidosis has significantly influenced our understanding of disease prevalence, presentations, and outcomes. However, clinical recognition of clues and red flags remains the most important factor in advancing the care of patients with cardiac amyloidosis.Multimodality imaging is becoming the crux of recognizing and diagnosing cardiac amyloidosis. Dr. Mouaz Al-Mallah and colleagues highlight the role of several known and innovative cardiac imaging techniques\u2014including echocardiography, cardiac magnetic imaging, and nuclear imaging\u2014that aid in the evaluation of cardiac amyloidosis.Treatment options used to be limited; however, the last decade has seen significant advances in disease-modifying therapies. Drs. Jignesh Patel and Lily Stern provide an excellent overview of current and experimental treatments for both light chain and ATTR amyloidosis.After these excellent review articles that keep us up to date on present diagnosis and treatment of cardiac amyloidosis, Dr. Barry Trachtenberg explores where the field is heading and what the future might hold for therapeutics and diagnostics. This topic includes the goal to develop anti-fibril therapies that will be safe and effective at removing deposited amyloid fibrils and restoring organs to their pre-amyloid state, as well as the potential for genetic editing to cure variant ATTR even before patients develop clinical signs of the disease.While several landmark studies have been done in amyloidosis, cardiac sarcoidosis is an emerging landscape for well-designed clinical trials. Several areas remain unexplored, particularly in the pathogenesis, genetics, newer imaging modalities, biomarkers, and treatment. Research and innovation are definitely needed in this area. The last two reviews of our special edition focus on this orphan condition.Cardiac sarcoidosis (CS) is a widely underdiagnosed yet clinically significant form of granulomatous myocarditis associated with significant morbidity and mortality. Clinical presentation ranges from clinically silent disease to cardiomyopathy or sudden cardiac death. Diagnosis of CS remains challenging due to the lack of sensitivity of any single diagnostic method, underscoring the importance of elevated clinical suspicion and the use of multimodality imaging to guide diagnosis and treatment. In this review, Dr. Yogita Rochlani and her colleagues discuss the epidemiology, pathogenesis, clinical features, and diagnosis of this clinically evasive disease.Sarcoidosis is a heterogeneous disease with various treatment indications, pulmonary and extrapulmonary. In this review, Drs. Ilias Papanikolaou, Emmanouil Antonakis, and Aggeliki Pandi provide a state-of-the art review on treatment indications and various agents whose use is supported by clinical trials.We are grateful for the opportunity to compile this special edition and provide you with a current overview of restrictive cardiomyopathies in general, with an added focus on the two specific cardiomyopathies. Clearly, the last decade has been exciting, particularly in the arena of cardiac amyloidosis. We anticipate additional advances that will come with new innovations in bioinformatics, imaging modalities, and drug development.Methodist DeBakey Cardiovascular Journal express our thanks to Dr. Trachtenberg and Dr. Kassi for their enthusiasm and dedication in curating this issue on infiltrative and restrictive cardiomyopathies.The editorial team of the Barry Trachtenberg, MD, is a cardiologist specializing in cardio-oncology, cardiology, heart failure, and transplantation cardiology. He is board certified in internal medicine, cardiovascular disease, echocardiography, and advanced heart failure and transplant.Dr. Trachtenberg received his BS degree from the University of Pennsylvania and attended medical school at the University of Texas-San Antonio. A native Houstonian, he completed his residency in internal medicine at Baylor College of Medicine prior to his cardiology training at the University of Miami School of Medicine.His clinical experience includes heart failure and heart transplantation, mechanical support pumps, cardiomyopathies, cardiac amyloidosis, and cardio-oncology. He has contributed to many publications related to advanced heart failure, cardio-oncology, amyloidosis, and ventricular assist devices.Dr. Trachtenberg is a member of the Amyloidosis Working Group of the International Cardio-Oncology Society of North America and serves on the Cardio-Oncology Council of the American College of Cardiology. He serves as the Heart Failure chair for the Texas Chapter of the American College of Cardiology. Currently, Dr. Trachtenberg is a heart failure/transplant cardiologist at Houston Cardiovascular Associates and a member of the Houston Methodist DeBakey Heart & Vascular Center and Methodist J.C. Walter Transplant Center.Mahwash Kassi, MD, is an advanced heart failure and transplant cardiologist at the Houston Methodist J.C. Walter Jr. Transplant Center and the Houston Methodist DeBakey Heart & Vascular Center. An assistant professor of cardiology at the Houston Methodist Academic Institute and Weill Cornell Medical College, she also is an assistant clinical member of the Houston Methodist Research Institute.Dr. Kassi received her medical degree from Aga Khan University in Karachi, Pakistan. She completed fellowships in cardiology at Houston Methodist Hospital and in advanced heart failure and transplant at Mayo Clinic, Rochester, Minnesota, in 2017.Her clinical interests include inherited and inflammatory cardiomyopathies, particularly cardiac sarcoidosis. She has numerous publications in peer-reviewed journals and her research interest includes computational fluid dynamic modeling in patients with left ventricular assist devices, for which she received the Texas A&M Presidential Award. In addition, Dr. Kassi is leading research efforts in cardiac sarcoidosis."}
+{"text": "Coronaviruses in wild and domestic animals have a long history of spillover between species . These examples emphasize the need for wider mobilization of veterinary skills and expertise within national and international task forces in countering SARS-CoV-2 transmission and future epidemics.At national and international levels, veterinary professionals, their representative associations and animal health regulatory bodies have played roles in protecting the public\u2019s health during the COVID-19 pandemic due to their knowledge and first-hand experiences with animal coronaviruses. The United States Agency for International Development\u2019s Emerging Pandemic Threats, the Pandemic Preparedness for Global Health Security (PREDICT) project, was managed by the School of Veterinary Medicine at the University of California, Davis, and was headed by wildlife veterinarians. Through this project, bio-surveillance of SARS-CoV-2 in animals and humans was conducted. The program underscores the significance of veterinarians and their capacities in coronavirus surveillance and control. Another example of the human-animal-ecosystem endeavor is the establishment of the World Organisation of Animal Health (OIE) \u201cAd Hoc Group on COVID-19 at the Human-Animal Interface.\u201d The Group is led by Dr. William Karesh, president of OIE\u2019s Working Group on Wildlife, and joined by collaborating groups to identify research priorities, assess and disseminate surveillance information, and provide guidance on veterinary services that are COVID-19-relevant in animal health and veterinary public health. In Ireland, veterinary epidemiologists work with medical and research colleagues of the National Public Health Emergency Team\u2019s modeling advisory group to counter COVID-19 (Ferri and Lloyd-Evans http://www.primate-sg.org/covid-19). As a precaution against COVID-19 spillover, the IUCN Group recommends biosecurity measures to prevent and control coronavirus transmission from humans to wild great apes, including guidelines on physical distancing, mandatory use of medical masks and various bans on visitation. Further examples of veterinarians researching, producing and following statements can be found at the Center for Disease Control, COVID-19 Safe Industry Plan for Zoos and Aquariums by the Australia Zoo and Aquarium Association, and OIE guidelines to prevent spillover of coronavirus around humans, terrestrial and aquatic animals (www.cdc.gov/coronavirus) Species Survival Commission (SSC) and the Wildlife Health Specialist Group collectively produced \u201cGuidelines for Working with Free-Ranging Wild Mammals\u201d, among other risk assessments and preventive measures for care of captive wildlife. The IUCN SSC recommends that during the COVID-19 pandemic, no great ape reintroductions or translocations should take place . In addition, the US Centers for Disease Control and Prevention (US-CDC) co-funded the development of a Field Epidemiology Training Programme for Veterinarians (FETPV) in Indonesia in 2017 which helps Indonesia to gatekeep against emerging animal coronavirus epidemics. Current surveillance systems were found to be inadequate in a number of countries when COVID-19 emerged. Surveillance for infectious agents in farmed animals and wildlife is both underfunded and often inconsistent, with reduced interest in disease during inter-epidemic periods. There have been strong calls for enhanced wild animal surveillance to determine the extent and nature of the threats posed and for appropriate action to be taken , and in turn, EID prove to be very costly, both monetarily and environmentally have provided veterinarians with insights into ways to address the COVID-19 pandemic and also to prevent future spillovers. Transmission of coronaviruses between species and adaptive changes have occurred on many occasions and appear to have accelerated in the past 20\u00a0years. Anthropogenic factors such as biodiversity loss, environmental degradation and inappropriate farming and selling practices, though contending at contribution levels, must be investigated and addressed to reduce and mitigate future spillover and pandemics (Roche et al. Veterinarians\u2019 expertise and knowledge, particularly experiences in epidemics that involve multiple hosts, primary, secondary and evolving pathogens, can improve One Health approach to this disease and other emerging diseases (McNamara et al."}
+{"text": "Bile duct cancer (BDC) has been identified as a highly aggressive cancer arising from epithelial cells of the bile duct, including intrahepatic, perihilar, and extrahepatic . TogethePalliative chemotherapy with cisplatin and gemcitabine (GEM) has been the standard of care for patients with unresectable cancers since 2010 and no breakthrough progress in this challenging disease in the era of targeted therapy and immunotherapy , clinicaIn recent years, scientists have established many omics profiles to reveal underlying mechanisms and networks in cancer. This omics-based approaches can be used and integrated for further basic and clinical research. Chang et al. reviewed the integration of genomics, epigenomics, transcriptomics, proteomics and metabolomics in BDC and provided the views of the application of omics in tumorigenesis, identification of prognostic factors, and investigation of novel targets for current and future drug development .TP53 encoding p53 protein, the guardian of the genome [One famous tumor suppression gene, e genome , has beee genome .Emerging evidence demonstrated that miRNAs regulate tumor responses to chemotherapy and targeted therapy. Huang et al. provided an overview of the current knowledge about the miRNA-mediated regulatory mechanisms underlying drug resistance among BDC, discussed the application of miRNA-based therapeutics to BDC, and provided the basis for innovative treatment approaches . Pan et Based on the comprehensive reviews and studies of various aspects in BDC from this special issue, to elucidate the successful strategy to overcome GEM resistance and innovate future novel treatment could be envisioned. All the efforts on BDC will help clinicians and researchers to beat such tough disease in the future."}
+{"text": "Brassicaceae plants are of great interest for human consumption due to their wide variety and nutritional qualities. Of the more than 4000 species that make up this family, about a hundred varieties of 6\u20138 genera are extensively cultivated. One of the most interesting aspects is its high content of glucosinolates, which are plant secondary metabolites with widely demonstrated anti-oncogenic properties that make them healthy. The most relevant Brassicaceae studies related to food and melatonin are examined in this paper. The role of melatonin as a beneficial agent in seedling grown mainly in cabbage and rapeseed and in the postharvest preservation of broccoli is especially analyzed. The beneficial effect of melatonin treatments on the organoleptic properties of these commonly consumed vegetables can be of great interest in the agri-food industry. Melatonin application extends the shelf life of fresh-cut broccoli while maintaining optimal visual and nutritional parameters. In addition, an integrated model indicating the role of melatonin on the organoleptic properties, the biosynthesis of glucosinolates and the regulatory action of these health-relevant compounds with anti-oncogenic activity is presented. N-acetyl-5-methoxytryptamine) is an indolic bioamine derived from tryptophan as a precursor in its biosynthesis. Since its discovery in 1958 in the pineal gland of cow .,65.Elongnstrated . An overnstrated , and thaA. thaliana, Chinese cabbage seedlings and broccoli florets, the promoting role in glucosinolate biosynthesis has been demonstrated. Melatonin treatments induce the accumulation of total aliphatic and indole glucosinolates, increasing specific glucosinolates, including GER, GRA, GBS and NGBS, among others to know better the effects of melatonin on primary metabolism, specifically on the photosynthetic, respiratory and carbohydrate transformation pathways ; (ii) to form a better understanding of the regulatory mechanism of melatonin on glucosinolate metabolism ; (iii) to know the possible effect of melatonin on mineral, dietary fiber and vitamin composition in plants and cabbages; (iv) postharvest, to better understand the effect of melatonin on the metabolism of ethylene and other plant hormones in broccoli; and (v) to study the effect of melatonin in other postharvest products of the Brassicaceae family such as cauliflower, Romanesco, kohlrabi, red cabbage and leafy vegetables."}
+{"text": "Gryllus bimaculatus) during storage. Four antioxidants and two packaging methods were used. The effects of different antioxidants and packaging methods on composition of fatty acids, contents of free fatty acids (FFA), peroxide value (PV), and thiobarbituric acid reactive substances (TBARSs) value of deep fried Gryllus bimaculatus were analyzed during 150 days of storage. The composition of fatty acids changed and the content of FFA, PV, and TBARs value also increased with the extension of storage time, indicating that the lipid oxidation dominated by oxidation of unsaturated fatty acids could occur in deep fried Gryllus bimaculatus during storage. In the same storage period, the total content of FFA, PV, and TBARs value of samples treated with antioxidants and vacuum-filling nitrogen packaging were lower than those of controls, suggesting that antioxidants and vacuum-filling nitrogen packaging have noticeable effects on inhibiting lipid oxidation and improving the quality of deep fried crickets, and dibutyl hydroxyl toluene (BHT) was found as the most effective antioxidant in this study. The results may provide a reliable reference for processing of deep fried edible insects.This study aimed to investigate the effect of processing methods on inhibiting lipid oxidation of deep fried crickets ( Insects are a biological group with the largest number of species, huge biomass, fast reproduction capability, and high food conversion rate on earth. Insects are highly nutritious, containing a large amount of high-quality proteins, high levels of unsaturated fatty acids, and high levels of essential trace elements, such as iron and zinc . AlthougBrachytrupes membranaceus, Gryllus similis, Gryllus bimaculatus, Gryllotalpa orientalis, and Acheta domesticus . These studies demonstrated that different degrees of lipid oxidation and decomposition may occur in edible insects during processing and storage, which are similar to other animal foods. Lipid oxidation is an important factor, influencing the quality and shelf-life of animal foods.Compared with other meat products, such as pork , beef 33, and goPhyllanthus emblica polyphenols have activities such as scavenging free radicals and anti-lipid oxidation [Phyllanthus emblica polyphenols (PEP), were used for the investigation in this study. The analysis results of free fatty acids content and PV value show that the antioxidant effects of BHT and TBHQ are better than that of ET and PEP, while the antioxidant effects of BHT, ET, and PEP are better than that of TBHQ in the analysis results of TBARs, in which the most effective antioxidant is BHT. Although some studies have reported that the antioxidant effects of some natural antioxidants in meat products are equivalent to BHT [Antioxidants inhibit the oxidation of lipids by scavenging the peroxide reaction matrix, complexing metal ions, reducing the concentration of active oxygen and blocking the dehydrogenation of fatty acids ,42. Syntxidation . Therefot to BHT , and evet to BHT , the antGryllus bimaculatus, four antioxidants were added to the palm oil used for deep frying, and the non-vacuum sealed packaging and vacuum-filling nitrogen packaging methods were used. Besides, the composition of fatty acids, contents of FFAs, PV, and TBARs value of samples that were treated with different methods during 150 days of storage were analyzed. The results showed that the contents of UFAs decreased, while the contents of SFAs increased. Meanwhile, the total content of FFAs, PV, and TBARs value increased during 150 days of storage, indicating that the lipid oxidation dominated by oxidation of UFAs could occur in deep fried Gryllus bimaculatus during storage. Additionally, at the same storage time, there were significant differences in the contents of UFAs and SFAs, as well as the total content of FFAs, PV, and TBARs value of samples treated with different methods. The total content of FFAs, PV, and TBARs value of samples treated with antioxidants and vacuum-filling nitrogen packaging were lower than those of the control, suggesting that antioxidants and vacuum-filling nitrogen packaging could significantly inhibit the lipid oxidation in deep fried Gryllus bimaculatus, which is an effective method to improve the quality and shelf-life of deep fried crickets, and BHT was found as the most effective antioxidant in the present study.In order to study and inhibit lipid oxidation in deep fried"}
+{"text": "Chronic kidney disease (CKD) is a serious public health problem worldwide, leading to a series of physical and psychological comorbidities, in addition to costly treatments, lifestyle and dietary restrictions. There is evidence that mindfulness-based interventions (MBIs) offer complementary treatment for people with chronic illnesses, including CKD, with the aim of improving overall health, reducing side effects and treatment costs. This review aims to investigate the MBIs impact on people with CKD undergoing hemodialysis, and to identify the methodological quality of the current literature in order to support future studies.We ran searches in five databases in July 2020. The papers were selected and evaluated by two reviewers independently, using predefined criteria, including the Cochrane Group's risk of bias tool and its recommendations (CRD42020192936).Of the 175 studies found, 6 randomized controlled trials met the inclusion criteria, and ranged from 2014 to 2019. There were significant improvements in symptoms of anxiety, depression, self-efficacy, sleep quality, and quality of life (n=3) in the groups submitted to the intervention, in addition to physical measures such as blood pressure, heart rate and respiratory rate (n=1).MBIs can offer a promising and safe complementary therapy for people with CKD undergoing hemodialysis, acting on quality of life and physical aspects of the disease. For Embase, the search was carried out with the filter \"all fields\", Web of Science was filtered by \"topic\" and Scopus through \"title, abstract and keywords\". For the other databases, no filter was used. The reference lists of the included studies was also analyzed in order to identify a possible flaw in the original search. The articles included in the search had no definition of an initial period and were extracted until July 2020.The research included keywords indexed in Health Sciences Descriptors (DECS) and Medical Subject Headings (MeSH Terms) such as: Renal Dialysis; Dialysis; Chronic Kidney Failure; Peritoneal dialysis; Chronic Kidney Failure; Nephropathies; Mindfulness; Mindfulness Meditation; Mindfulness-Based Intervention; MBI; Mindfulness Based Stress Reduction; MBSR; Mindfulness Based Cognitive Therapy; MBCT; Mindful Eating. The synonyms present in each keyword listed were included in the search. The choice of adding synonyms to the search strategy was applied in order to unify the key used in the different databases and expand the search. All potentially eligible studies were reviewed, regardless of primary outcome or language.We included only MBI studies in people with chronic kidney disease, over 18 years old on hemodialysis treatment, and written in English. Systematic reviews and meta-analyses, MBI together with other interventions, incomplete texts and themes other than the objective of the study were excluded.All citations retrieved from electronic databases were imported into an Excel spreadsheet. Two reviewers (BNR and MFR) analyzed independently and blindly, where the researchers first selected the titles and abstracts, and then the full texts, applying the inclusion and exclusion criteria established in the protocol.Data from the included studies were independently extracted by the same two reviewers using a standardized form. The extracted data included: main author, year of publication, design, participants , inclusion criteria, information about the intervention and control group , post-intervention follow-up evaluations, evaluation measures and main results.The methodological quality of the included studies was independently assessed by the same two reviewers using The Risk of Bias 2 (RoB 2) tool, in its updated version for ECRs (and its variation for ECRs in crossover format)-,,We found 175 potential studies in the database searches. After removing 77 duplicate studies, we coded 98 titles and/or abstracts. Following the application of the exclusion criteria showed that 49% of the participants were married, 50% lived with a family and 46% used psychiatric medications. Four studies described comorbidities associated with CKD, with hypertension and diabetes being the most prevalent-,The six clinical trials involved a total of 264 participants with CKD and a mean age of 57.34 years (\u00b1 9.8), ranging from 15 to 63 participants among the studies. Except for the study by Nejad et al. (2018),,,-,,Most of the studies evaluated used well-established protocols such as mindfulness-based stress reduction (MBSR),Two studies adapted the MBSR protocol to be performed through videoconference and in groups (tMBSR), the first and the last face-to-face meeting and the rest were online-,,The practices described in the cited studies ranged from body scanning practices, conscious breathing, raisin practice, gentle arm movement, mindfulness in daily activities and self-compassion, in which participants were invited to adopt a gentle and non-judgmental attitude to respect for experience throughout practices. In addition to the practices carried out in the weekly meetings, most studies encouraged participants to practice at home and keep records over the weeks,Thomas et al. (2017)Since this review aims to investigate the impact of interventions based on mindfulness and chronic kidney disease in a broad way, the outcomes found throughout the studies were described as a majority, being mental health outcomes such as depression, anxiety and self-efficacy, physical measures of fatigue, pain, sleep, blood pressure, sympathetic activity, respiratory rate, and psychosocial measures of quality of life See .,,Three studies associated the effects of MBIs on anxiety and depressionSolati et al. (2019)Gross et al. (2017),Two studies assessed sleep quality. The authors used different scales to assess this outcome. Gross et al. (2017)Park et al. (2014)Two studies assessed quality of life using different scales. Solati et al. (2019),,,,,,,The quality of the studies was measured using The Risk of Bias 2 (RoB 2), in its updated version,,In the domain referring to the measurement of outcomes, all studies cited the psychometric properties of the instruments used, as well as the justification for implementing the adopted measures. Only two studies did not have enough information about the outcome and whether the intervention could have been interfered from the responses,,,,,,,,..) The attrition rate was described in two studies, being 13% for each group,,,MBIs have grown worldwide as a complementary therapy in the treatment of chronic diseases, including CKD,,,,The results of the six studies are encouraging for the domains of mental health, physical measures and quality of life. There were significant improvements in the symptoms of anxiety, depression, greater self-efficacy, sleep quality and quality of life in the groups submitted to the intervention-,In addition to psychological and psychosocial stressors, the presence of comorbidities associated with CKD, such as hypertension, is very prevalent in people with CKDThis review enabled a broad understanding of the impacts of MBIs on CKD patients undergoing hemodialysis and employed a rigorous methodological strategy to research and evaluate the literature on this topic. Two reviewers were involved in the screening and evaluation of studies eligible for inclusion, with in-depth discussions regarding the proposed evaluations, and with the help of a third reviewer, when necessary. The methodological quality of the studies was carefully assessed according to the recommendations in the Cochrane Manual (Cochrane Collaboration 2020)The fact that MBIs originate from ancient Eastern traditions, and the resource constraints for translations in languages \u200b\u200bother than English, may have biased our findings. In addition, the low methodological quality of three studies together and the general heterogeneous nature of the evaluations/outcomes of the analyzed papers made it impossible to carry out a quantitative meta-analysis.,,,,,,,Reilly-Spong et al. (2015)In some studies, the authors used instrument subscales to assess their secondary outcomes, such as the item related to pain inserted in the SF-12,,,Although most of the papers evaluated used MBIs based on well-established protocols and certified mindfulness instructors, two studies did not specify the information on the protocol base of the program adopted, making it difficult to generalize the resultsFuture studies involving MBIs in patients with CKD should be carried out on larger scales, and with the implementation of robust methodologies; examine both physical and psychological measures, quantitatively or qualitatively, in order to further explore the clinical implications of interventions in this population. The sociodemographic characteristics, disease stages and associated comorbidities, sample stratifications, and issues regarding the necessary adaptations for the application of appropriate MBIs to the hemodialysis context, whether individually, in groups or online.Although the evidence is limited, this review indicates that MBIs may offer a promising, safe and non-invasive complementary therapy for patients with CKD on hemodialysis, specifically in relation to mental health, quality of life and the physical aspects of the disease. The implementation of these interventions must consider the certification of instructors and details of the protocols, ensuring their reliability. The potential impacts of MBIs for people with CKD require studies with higher methodological quality, clarifying the feasibility of different formats of interventions presented, and long-term evaluations."}
+{"text": "BACKGROUND: Host factors expressed by individual past medical history of hypertension, stroke, and myocardial infarction may have a relationship with colorectal cancer.METHODS: As part of the Japan Collaborative Cohort Study (JACC Study) for the Evaluation of Cancer Risk sponsored by the Ministry of Education, Science, Sports and Culture of Japan (Monbusho), we conducted a follow-up study of 110,792 Japanese inhabitants aged 40-79 years to reveal the relationship of past medical history of hypertension, stroke, and myocardial infarction at the baseline in 1988-1990 with colorectal cancer death for about 10 years up to the end of 1999.RESULTS: Past medical history of hypertension associated with an increased risk of female rectal cancer when analyzing all cancer cases with adjustment for age, body mass index, and exercise . Past medical history of myocardial infarction was also an increased risk for female rectal cancer . Females who had a medical history of stroke had increased risk of rectal cancer without statistical significance.CONCLUSION: There was a positive association of past medical history of hypertension and myocardial infarction and an increased risk of rectal cancer in women. These common risk factors may contribute to the positive association between the above circulatory diseases and colorectal cancer.We reported a positive association between past medical history of hypertension and colorectal cancer in a case-control study in early 1980,Therefore, we conducted a cohort study to reveal the relationship in the Japan Collaborative Cohort Study (JACC Study) for the Evaluation of Cancer Risk sponsored by the Ministry of Education, Science, Sports and Culture of Japan (Monbusho).3,4 Briefly, the study population was 110,792 Japanese inhabitants aged 40-79 years at 45 study areas in 1988-1990. Subjects completed a self-administered questionnaire including past medical history of hypertension, stroke, and myocardial infarction. A response to the medical history questions was selected from four alternatives such as \u201chave never suffered from the disease\u201d, \u201chave suffered from the disease with present treatment\u201d, \u201chave suffered from the disease with treatment\u201d, and \u201chave suffered from the disease without treatment\u201d. Therefore, subjects with positive medical history of hypertension, stroke and myocardial infarction were defined as those who had suffered from hypertension, stroke and myocardial infarction, respectively, irrespective of past and present treatment.The study population, procedures for conducting the baseline survey using a self-administered questionnaire, and follow-up methods in the JACC Study have been described previously.5 by verifying computer-stored data in the Ministry of Health, Labour, and Welfare with permission. A diagnosis of colon cancer was defined by code C18, while rectal cancer was C19 and C20, in the above classification.5The follow-up survey was conducted using population registries in local municipalities to determine the vital and residential status of the cohort in each area. All subjects that moved out of the study areas were treated as censored subjects. All deaths that occurred in the cohort were ascertained by death certificates from local public health centers in the study areas with the authorities\u2019 permission from the Director-General of the Prime Minister\u2019s Office . The causes of death were coded according to the International Statistical Classification of Diseases and Related Health Problems, 10th Revision2, and no answer) and exercise for all colorectal cancer cases and cases except for those who had died within the first two years of the follow-up period. Body mass index (BMI) was calculated as weight (kg) divided by height (m) squared provided in the self-administered questionnaire at the baseline.The risk of colorectal cancer was evaluated by hazard ratios (HRs) and 95% confidence intervals (CIs) estimated by the Cox proportional hazards model. Sex-specific HRs were computed after adjustment for age in all colorectal cancer cases and cases except for those who died within the first two years of the follow-up period. Sex-specific HRs were also computed after adjustment for age, body mass index (BMI) and for cases except for those died within the first two years of the follow-up period . Past medical history of stroke and myocardial infarction had a positive association with female rectal cancer, although there was no statistical significance. Past medical history of hypertension, stroke, and myocardial infarction also showed a positive association with male colon cancer, although none were not statistically significant. There were no other significant relationships among past medical history of hypertension, stroke, and myocardial infarction with colorectal cancer death by sex or site of cancer (colon/rectum).Sex-specific HRs and 95% CIs of colon cancer and rectal cancer adjusted by age, BMI and exercise are shown in 1,2 The present study showed a positive association between past medical history of hypertension and female rectal cancer. Females who had a medical history of hypertension had an increased risk of rectal cancer. This result supports the idea of the presence of common risk factors between colorectal cancer and hypertension. Obesity and physical inactivity are risk factors for hypertension.6 Obesity7,8 and physical inactivity8,9 are also risk factors for colorectal cancer. However, the risk of rectal cancer still existed when BMI and exercise were adjusted. Therefore, there may be common risk factors other than BMI and exercise involved in the link between hypertension and rectal cancer deaths. Females who had a medical history of myocardial infarction also had increased risk of rectal cancer when BMI and exercise were adjusted. Females who had a medical history of stroke had increased risk of rectal cancer without statistical significance. This may be accounted for by hypertension, as myocardial infarction and stroke are both closely related to hypertension.There are no consistent epidemiologic reports on the relationship between past medical history of hypertension and colorectal cancer.10 We proposed this hypothesis because the average value of plasma homocysteine of patients with colorectal cancer was significantly higher than of healthy controls in a clinical case-control study.10 Except for folic acid deficiency, oxidative stress may contribute to the relationship. We have already reported that higher levels of serum oxidized low-density lipoprotein, which is believed to play a role in the development and progression of atherosclerosis,11 were associated with risk of colorectal cancer as part of the JACC Study.12 Therefore, our findings that past medical history of hypertension and myocardial infarction increased the risk of female rectal cancer could be a secondary association due to folic acid deficiency and /or oxidative stress.There is a hypothetical correlation between circulatory diseases and colorectal cancer, shown in There is a major limitation in interpreting the present results. As we conducted a cohort study, some of the subjects who did not have a medical history of hypertension at the time of the baseline questionnaire survey may have developed hypertension and then subsequently colorectal cancer during the follow-up period. Therefore, the relationship between past medical history and colorectal cancer death might have been underestimated.There were no consistent results by sex or site of cancer (colon/rectum) in our study. These differences should be carefully addressed by considering factors other than folic acid deficiency and /or oxidative stress, such as hormonal background.The present investigators involved, with the co-authorship of this paper, in the JACC Study and their affiliations are as follows: Dr. Akiko Tamakoshi (present chairman of the study group), Nagoya University Graduate School of Medicine; Dr. Mitsuru Mori, Sapporo Medical University School of Medicine; Dr. Yutaka Motohashi, Akita University School of Medicine; Dr. Ichiro Tsuji, Tohoku University Graduate School of Medicine; Dr. Yosikazu Nakamura, Jichi Medical School; Dr. Hiroyasu Iso, Institute of Community Medicine, University of Tsukuba; Dr. Haruo Mikami, Chiba Cancer Center; Dr. Yutaka Inaba, Juntendo University School of Medicine; Dr. Yoshiharu Hoshiyama, Showa University School of Medicine; Dr. Hiroshi Suzuki, Niigata University School of Medicine; Dr. Hiroyuki Shimizu, Gifu University School of Medicine; Dr. Hideaki Toyoshima, Nagoya University Graduate School of Medicine; Dr. Shinkan Tokudome, Nagoya City University Graduate School of Medical Science; Dr. Yoshinori Ito, Fujita Health University School of Health Sciences; Dr. Shuji Hashimoto, Fujita Health University School of Medicine; Dr. Shogo Kikuchi, Aichi Medical University School of Medicine; Dr. Akio Koizumi, Graduate School of Medicine and Faculty of Medicine, Kyoto University; Dr. Takashi Kawamura, Kyoto University Center for Student Health; Dr. Yoshiyuki Watanabe, Kyoto Prefectural University of Medicine Graduate School of Medical Science; Dr. Tsuneharu Miki, Kyoto Prefectural University of Medicine Graduate School of Medical Science; Dr. Chigusa Date, Faculty of Human Environmental Sciences, Mukogawa Women\u2019s University ; Dr. Kiyomi Sakata, Wakayama Medical University; Dr. Takayuki Nose, Tottori University Faculty of Medicine; Dr. Norihiko Hayakawa, Research Institute for Radiation Biology and Medicine, Hiroshima University; Dr. Takesumi Yoshimura, Institute of Industrial Ecological Sciences, University of Occupational and Environmental Health, Japan; Dr. Akira Shibata, Kurume University School of Medicine; Dr. Naoyuki Okamoto, Kanagawa Cancer Center; Dr. Hideo Shio, Moriyama Municipal Hospital; Dr. Yoshiyuki Ohno, Asahi Rosai Hospital; Dr. Tomoyuki Kitagawa, Cancer Institute of the Japanese Foundation for Cancer Research; Dr. Toshio Kuroki, Gifu University; and Dr. Kazuo Tajima, Aichi Cancer Center Research Institute."}
+{"text": "The immature immune system at birth and environmental stress increase the risk of infection in nursing pigs. Severe infection subsequently induces intestinal and respiratory diseases and even cause death of pigs. The nutritional and physiological conditions of sows directly affect the growth, development and disease resistance of the fetus and newborn. Many studies have shown that providing sows with nutrients such as functional oligosaccharides, oils, antioxidants, and trace elements could regulate immunity and the inflammatory response of piglets. Here, we reviewed the positive effects of certain nutrients on milk quality, immunoglobulin inflammatory response, oxidative stress, and intestinal microflora of sows, and further discuss the effects of these nutrients on immunity and the inflammatory response in the offspring. During gestation and lactation, maternal nutrition is a predominant factor to regulate the growth and immunity of piglets , 2. SincMaternal infection or inflammatory exposure during pregnancy impairs the innate response of newborns and increases their susceptibility to infection . During As indigestible carbohydrate, dietary fiber (DF) is partially or completely fermented by microorganisms in the large intestine, which could be categorized into insoluble and soluble fiber . InsolubBifidobacterium) of sows has been reported to activate the immune system and prom of sows . A recen of sows . Similar of sows .Chitosan oligosaccharide (COS) has good water solubility and performs antioxidant , anti-inSugar peat pulp (SBP) contains large amounts of soluble fibers such as pectin and dextran . FeedingEnterobacteriaceae in sow feces at delivery and the number of Escherichia coli in piglet feces at weaning (Seaweed extracts (SWEs) mainly consists of seaweed polysaccharide (SDP), laminarin, and fucoidan . Supplem weaning . These b weaning .Lactobacilli and decrease the abundance of Bilophila spp in intestine. Importantly, IL-10 and TGF-\u03b2 levels were increased in piglets, which avoids over-activated immune system in piglets , derived from the cell wall of Saccharomyces cerevisiae, has been used as a prebiotic for a long time . Recent diarrhea .Besides soluble fiber, insoluble dietary fiber also plays a crucial physiology role in sow. Insoluble dietary fiber accelerates gastrointestinal motility, reduces constipation and increases satiety of sows . Wheat bHowever, excessive level of dietary fiber could negatively affect total tract nutrient digestibility in pigs . As soluDuring late pregnancy and lactation period, sows require more nutrients and energy for fetal growth and milk synthesis. Oil supplementation in sow diets could prevent excessive mobilization of body reserves , shortenTLR-4, TLR-9 and MyD88) in the ileum is rich in long-chain n-3 polyunsaturated fatty acids, such as eicosapentaenoic acid (EPA) and docosahexaenoic acid (DHA), which have anti-inflammatory effects both in vitro is rich in monounsaturated fatty acids , as wellIt is worth noting that high fat-induced obese sows have lower number of live-born piglets , piglet During late pregnancy,rapid fetal development increases the metabolic burden and induces systemic oxidative stress of pregnant sows .Severe oVitamin E, one of the most effective antioxidants, could directly react with free radicals and stimulate the expression of antioxidant enzyme genes, like GSH-Px and CAT . In addiForsythia suspensa extract (FSE) is a medicinal herb extract that mainly consists of forsythiaside A, forythialan A, phillyrin and phillygenin. FSE has been shown to perform antioxidant and liver of neonates . Furthermore, administration of HMSeBA decreased the gene expression of IL-1\u03b2, IL-6 and IL-8 in placentas and IL-6 serum concentration in neonatal piglets. Therefore, HMSeBA supplementation in sows during late pregnancy increased the antioxidant capacity of piglets and reduced maternal and fetal inflammation is incorporated into selenopsroteins and subsequently prevent intestinal inflammation by alleviating oxidative stress . In addiammation . Similarammation . MoreoveTaurine (Tau), a metabolite of methionine and cysteine, have anti-inflammatory and antioxidant properties , 117. TaOxidized \u03b2-carotene (OxBC) is a complex mixture produced by complete and spontaneous oxidation of \u03b2-carotene. The addition of OxBC (8 mg/kg) to the perinatal diet (G85-L21) improved the litter weight and individual body weight of the weaned piglets. This might be due to OxBC increased the immune status of sows, which further affect the growth of piglets. This is evidenced by decreased levels of cytokines (TNF-\u03b1 and IL-18) and increased levels of immunoglobulin in colostrum .In this section, we describe some other nutrients which are advantageous to regulate the immunity and inflammation of piglets when supplemented in sow diets such as rare earth elements, lysozyme, and yeast nucleotides etc Table\u00a03.Christensenellaceae and Ruminocococaceae) and decreased abundance of opportunistic pathogenic bacteria (Proteus and Campylobacter) were also found in the intestinal tract of piglets (Rare earth elements (REEs) includes 15 elements such as lanthanum (La) and cerium (Ce) . In addi piglets .campylobacter in the feces (Lysozyme (LZM) is a natural antibacterial enzyme found in the tears, saliva and milk of mammals . Previouhe feces .Nucleosides could promote the growth and development of intestinal epithelial cells . The addSpray-dried plasma (SDP) is a protein-rich feed additive that contains immunoglobulins, peptides, glycoproteins and other active ingredients . PreviouDietary fiber regulates inflammatory and immune response in the offspring by modulating the maternal intestinal microflora and milk immunoglobulin content. The antioxidant substances could directly react with the free radicals and enhance the maternal antioxidant capacity, thereby indirectly reducing infection in the offspring. The oil and fat products not only provide adequate energy to sows, but also supply functional fatty acids to alleviate infection and enhance the immune function in the offspring by exerting the anti-inflammatory and anti-oxidant effects. In summary, maternal nutrition intervention is an effective way to regulate the inflammatory response and immunity in the offspring.in vitro cell experiments are required to clarify the potential mechanism. Lastly, whether the metabolites of these nutrients were involved in the regulation of immunity and inflammation in the offspring is still unclear and require more research.In this review, we mainly focus on the positive effects of nutrients in the regulation of immunity and inflammatory response of sows and piglets during pregnancy and lactation. It worth noting that these effects would be affected by timing and/or dosage of nutrient supplementation. Moreover, it is well known that excessive addition of fat usually has a negative effect on pigs. The toxic effects of excessive addition of other products, such as vitamin E and selenium are alsoQL, SZ, and MR initiated the idea, the scope, and the outline of this review paper. QL, SY, XZ, XL, ZW, YQ, WG, MR, and SZ studied and analyzed all of the publications cited in this paper and were involved in the manuscript preparation. SZ and MR conducted the final editing and proofreading. All authors contributed to the article and approved the submitted version.This study was financially supported by the National Natural Science Foundation of the P.R. of China (No. 31872364 and No. 31802067), Guangdong Basic and Applied Basic Research Foundation (No. 2021A1515010440), Science and Technology Program of Guangzhou (No. 202102020056), Anhui Provincial Science and Technology Major Special Project (201903a06020002).The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest.All claims expressed in this article are solely those of the authors and do not necessarily represent those of their affiliated organizations, or those of the publisher, the editors and the reviewers. Any product that may be evaluated in this article, or claim that may be made by its manufacturer, is not guaranteed or endorsed by the publisher."}
+{"text": "Carbon-based nanomaterials have been increasingly used in the design of sensors and biosensors due to their advantageous intrinsic properties, which include, but are not limited to, high electrical and thermal conductivity, chemical stability, optical properties, large specific surface, biocompatibility, and easy functionalization. Therefore, the final aim of this Special Issue is to share new data concerning the novel exploitation strategies of these nanomaterials in order to support the development of improved (bio)sensing tools. Focus is mostly placed on the usage of graphene but also on carbon dots and carbon nanotubes, as well as on the preparation and characterization of new (nano)composites. The tailoring of the (bio)sensor surface is the common approach of the different reported schemes when optimizing the (bio)sensor design. Simulation tests are also performed .The research community has shown rising and commendable interest in searching for and applying greener synthesis methodologies, with different studies ,3,4 explMoreover, for those researchers seeking an overview of the state of the art of the use of carbon-based nanomaterials for (bio)sensors\u2019 development, three review papers targeting different topics are included in this Special Issue. Pan et al. revised,The incorporation of carbon-based nanomaterials, independent of the detection scheme and developed platform type , has demonstrated a major beneficial effect on the sensitivity, specificity, and overall performance of (bio)sensors. Consequently, carbon-based nanomaterials have brought about a revolution in the field of (bio)sensors with the development of increasingly sensitive devices."}
+{"text": "OBJECTIVES/GOALS: Hepatitis B and C virus causes inflammation of the liver and can lead to cirrhosis, liver failure, and hepatocellular carcinoma. The aim of this study is to generate a modeled estimate of changes in hepatitis B and C prevalence, and future sequelae, that accounts for recent mass migration to the European Union stemming from 50 high-emigration countries. METHODS/STUDY POPULATION: Total migrant population from 2013-2017 was obtained from the Eurostat population database. Demographics including country-of-origin, sex, and age distributions were used to determine migrant contributions to HBV and HCV prevalence where available. Undocumented migration estimates were obtained from the Institute of Migration database. Country-of-origin HBV and HCV prevalences were obtained for the select 50 country-of-origin nations from the Polaris Observatory and from systematic reviews. Disease progression was estimated using HBV and HCV outcome data for total populations from treatment guideline publication from the European Association for the Study of the Liver. RESULTS/ANTICIPATED RESULTS: Between 2013 and 2017, a total of 11,030,786 documented migrants born outside the EU arrived to the 30 nations. Germany, United Kingdom, and Spain received the greatest influx of persons and the majority of migration stemmed from countries in West Asia, the Middle East, and Africa. A significant proportion of total migration was driven by conflict-related crisis in Syria, and East and North Africa. The most significant increases in estimated total hepatitis case numbers, national prevalence increases, and future sequelae were seen in Germany and Sweden. DISCUSSION/SIGNIFICANCE OF IMPACT: Mass migration has significantly changed HBV and HCV disease burden in Europe over the past 5 years. Consequently, long-term outcomes of cirrhosis and HCC are also expected to increase. These increases are likely to disproportionally impact individuals of the migrant and refugee communities. HBV and HCV surveillance and management programs must strategically focus on individuals from high-burden age cohorts and nations. Screening and treatment would aid WHO elimination efforts while benefiting both the vulnerable individuals and host nations through reduction of morbidity, mortality, and associated healthcare expenses."}
+{"text": "One of the distinctive strengths of WLS is the availability of Henmon-Nelson IQ scores on all participants while in high school, followed by prospective collection of data through cognitive batteries of varying size and sophistication. Launched in 1993, the initial longitudinal cognitive testing included 8 abstract reasoning items followed by the administration of larger cognitive batteries in 2004 and 2011 comprised of a 10-item word recall test, digit ordering task, phonemic and category fluency, as well as repeated and new items from the WAIS-R similarities task first administered in the 1993 survey. In 2018, with R01 funding from NIA, the scope of cognitive testing expanded significantly and includes administration of a phone-based cognitive screening measure, and a comprehensive in-person neuropsychological assessment for individuals identified at risk for dementia targeting a range of cognitive domains, including memory, language, attention, visuospatial abilities, and executive functioning."}
+{"text": "The pandemic profoundly affected the care of older adults in long term care communities (LTCC) across the world. More than one third of pandemic deaths were linked to nursing homes. Most nations and states had strict guidelines on visitation, with many, especially in the United States, totally prohibiting visitation for over an entire year. Well-intentioned measures to protect through isolation caused a profound ethical tension between safety and self-determination. The aim of the project was to examine this dilemma using a case study and the Madison Collaborative Ethical Reasoning in Action Framework. Eight key questions of fairness, outcomes, rights, responsibilities, character, liberty, empathy, and authority were applied in the context of federal and state mandates in the US and Australia. Results highlighted issues of ageism, paternalism vs empathy, regulatory vs family authority, a focus on short-term outcomes while forfeiting long-term outcomes, community responsibilities to the resident trumped individual resident rights, the potential loss of community character in lieu of basic care provision, a loss of personal freedoms, and the emphasis of physical well-being over holistic well-being. The results of this analysis can inform future policy and provide lessons learned for the future."}
+{"text": "The advances in the field of gene therapy have significantly improved the possibility for nucleic acids as highly promising agents for the treatment of both inherited and acquired human diseases. Substantial progress has been made in the development of different types of nucleic acids, including plasmid DNA, mRNA, microRNA, small interfering RNA, and antisense oligonucleotides. Nevertheless, despite the immense pharmacological potential of these molecules, the successful clinical application of genetic material-based strategies remains dependent on the generation of safe and effective delivery systems that have the ability to overcome the numerous biological barriers associated with the gene delivery process. Up to now, the large majority of gene therapy clinical trials have been based on the use of viral vectors, namely due to features such as high levels of transduction, or the efficient and stable integration of exogenous DNA into the host genome. However, several drawbacks have been associated with viral vectors, such as immunogenicity, carcinogenesis, the size limit of exogenous DNA, and the difficulty of large-scale production. Non-viral gene delivery systems have the potential to overcome these limitations, allowing not only a safe but also efficient gene delivery process into the target cells.The aim of this Special Issue was to highlight the current progress in non-viral gene delivery systems. Six original papers and six review articles were published.The publication by Guan and Chen et al. focused Mart\u00ednez-Negro and Junquera and coworkers developeOn the other hand, Saher and Zain et al. evaluateIbaraki and Seta et al. used a nNagachinta and de la Fuente et al. aimed toThe potential of cell penetrating peptides (CPPs), also recognized as protein transduction domains (PTDs), to be used as non-viral gene delivery systems was the focus of the review article by Taylor and Zahid . In thisRoma-Rodrigues and Fernandes et al. providedpiggyBac (PB) transposon, one of three transposon systems and Tol2), namely the diverse roles of PB in gene delivery and strategies to improve its performance. This work highlights the potential of PB, which promotes the chromosomal integration of the delivered transgenes, to overcome the referred limitations associated with non-viral gene delivery systems.On the other hand, Sato and Nakamura et al. reviewedCarvalho, Cordeiro and Faneca presenteCarballo-Pedrares and Rey-Rico et al. performeOn the other hand, Aulicino, Capin and Berger focused Egorova and Kiselev et al. develope"}
+{"text": "Most brain diseases are fatal with no effective therapeutic solutions currently available, contributing to major health issues globally. One of the major obstacles in overcoming the pathologies of these diseases is the existence of the blood-brain barrier (BBB), which physically separates the brain and the bloodstream . The BBBIn the past decades, various strategies including drug modification, novel delivery systems, transiently opening the BBB by physical or chemical methods and bypassing the BBB through intracranial or intranasal delivery have beein vitro and in vivo, and the application of nanoparticles for treating various brain diseases.This Frontiers Research Topic brings together contributions in new advancements in the mechanisms of the BBB regulation, the development of novel nanoparticles with the capability to be traced Wang et al showed that microRNAs (miRNA) could either inhibit or enhance the expression of tight junction molecules, thereby directly regulating the BBB. In addition, miRNAs affected the structure and function of brain endothelial cells, including the cytoskeleton, channels and transporters of brain endothelial cells. Furthermore, miRNAs also targeted inflammation molecules and other molecules often used in the crosstalk between brain endothelial cells and the other cells of the neurovascular unit. The profound effect of miRNAs on BBB function and integrity makes them a promising target for treatment of brain diseases. Additionally, improvement of brain vascular function may benefit the treatment of brain diseases. In the article by Zhu et al, the authors developed amorphous selenium nanoparticles (A-SeQDs) for treating chronic isocarbophos poisoning through the protection of endothelial function. They showed that A-SeQDs inhibited inflammation while increasing oxygen saturation, leading to sodium hydrogen exchanger 1-dependent reduction of endothelial apoptosis. Consequently, isocarbophos-induced vascular dysfunction was inhibited.Brain diseases are often associated with a dysfunctional often disrupted, BBB . Therefoin vivo drug monitoring. Chung and Zhang developed a novel colloidal stable and non-toxic fluorescent probe, an iron oxide and carbon dot-based nanoparticle, to deliver chemotherapeutics for killing of cancer cells. This new type of nanoparticle was low in toxicity and able to respond rapidly for quantitative imaging. Transparent cranial implants provided a possibility for chronic brain imaging, thereby facilitating brain research. Halaney et al analyzed the optical properties of a ceramic, nanocrystalline Yttria-Stabilized Zirconia (nc-YSZ)-based transparent cranial implant. The optical properties of the implant were critical to the design of optical systems for imaging the brain and for interpreting imaging outcomes.The development of nanoparticles with the capability for imaging is critical to disease diagnosis and Ngowi et al summarized the unique properties of nanoparticles for diagnosis and treatment of brain diseases, including brain tumor, ischemic stroke, amnesia, and amyotrophic lateral sclerosis. The small size of nanoparticles, usually less than 100\u00a0nm, enables them to cross the BBB for delivering therapeutics and diagnostic probes to the brain parenchyma. In addition, nanoparticles can be modified for improved solubility, bioavailability and specificity of conventional drugs. To accelerate clinical translation, the authors highlighted the importance of determining the toxicity and bioaccumulation of nanoparticles in clinical settings. Khan et al discussed the application of various nanoparticles in treating Alzheimer\u2019s disease (AD). They focused on the formulation of nanoparticles employed for this purpose, including organic, lipid-based, as well as metallic nanoparticles. The authors contended that the development of nanoparticles with multi-therapeutic capacities would be the research direction of future AD nanomedicine. Finally, in this special issue Li et al summarized the application of nanomedicine in AD and Parkinson\u2019s disease by focusing on the pathogenic targets of nanoparticles, such as oxidative stress, protein fibrillation, and inflammation.Nanoparticles have been employed to transport therapeutic agents to the brain, providing a safe and effective approach to improve brain drug delivery . Ngowi e"}
+{"text": "According to the cognitive discrepancy theory, although the discrepancy between actual and desired social resources may result in loneliness, Perlman and Peplau (1998) suggested that cognitive processing and attributional style also impact the interpretation of social information. Previous empirical research investigating predictors of loneliness have not assessed a wide range of cognition and attribution factors, so this study filled this gap by examining how protective and exacerbating , and experiences of age-based discrimination) factors influence and moderate the experience of loneliness cross-sectionally and longitudinally using a sample of 3,345 Americans aged 50 years and older from the 2008 and 2012 waves of the Health and Retirement Study. Optimism , mastery , purpose in life , depression , control constraints , negative SPA , and experiences of ageism were significantly related to loneliness cross-sectionally and longitudinally, respectively. Optimism buffered the negative impact of poor functional social resources on loneliness cross-sectionally while control constraints, negative SPA, and experiencing ageism exacerbated the relationship between low functional social resources and loneliness cross-sectionally. None of the protective or exacerbating factors modulated the relationship between functional social resources and loneliness longitudinally. These findings have important implications for the development of interventions that target loneliness. Targeting maladaptive cognitions may be particularly effective in reducing loneliness."}
+{"text": "Scientific Reports 10.1038/s41598-021-82844-7, published online 15 February 2021Correction to: The Acknowledgements section in the original version of this Article was incomplete.\u201cWe are grateful for the constructive comments received from Andrzej Baranski, Sanjeev Goyal, Agne Kajakaite, Byungkyu Lee, Georgia Michailidou, Rebecca Morton, Nikos Nikiforakis, Daniele Nosenzo, Wojtek Przepiorka, Ernesto Reuben, and Marie Claire Villeval as well as the participants of the 2019 Winter Experimental Social Sciences Institute at NYU Abu Dhabi, International Meeting on Experimental and Behavioral Social Sciences at the University of Utrecht and the participants of the Networks and Time speaker series at Columbia University. We also thank the anonymous reviewer for generous comments that helped improve the paper.\u201dnow reads:\u201cWe are grateful for the constructive comments received from Andrzej Baranski, Sanjeev Goyal, Agne Kajakaite, Byungkyu Lee, Georgia Michailidou, Rebecca Morton, Nikos Nikiforakis, Daniele Nosenzo, Wojtek Przepiorka, Ernesto Reuben, and Marie Claire Villeval as well as the participants of the 2019 Winter Experimental Social Sciences Institute at NYU Abu Dhabi, International Meeting on Experimental and Behavioral Social Sciences at the University of Utrecht and the participants of the Networks and Time speaker series at Columbia University. We also thank the anonymous reviewer for generous comments that helped improve the paper. This work was supported by the NYUAD Center for Interacting Urban Networks (CITIES), funded by Tamkeen under the NYUAD Research Institute Award CG001 and by the Swiss Re Institute under the Quantum Cities\u2122 initiative.\u201dThe original Article has been corrected."}
+{"text": "For more than 40 years, under the leadership of four editors and two publishers, The International Journal of Aging and Human Development (IJAHD) has featured multidisciplinary scholarship related to aging processes and older adults. With the publication of eight issues a year, with over 800 pages of scientific content, the IJAHD places emphasis upon psychological and social studies of aging and the aged. However, the Journal also publishes research that integrates observations from other disciplines that illuminate the \"human\" side of gerontology. A more recent focus includes midlife development, as well. About half (47%) of the publications in the IJAHD are from international colleagues. This presentation will discuss tips for both international and US-based scholars for ensuring timely reviews and positive decisions for manuscript submissions, including such areas as key words, suggesting unbiased reviewers, formatting, writing mechanics, clearly-articulated methods, and a sound theoretical basis."}
+{"text": "To evaluate the clinical and histopathological effects of natural extracts in the treatment of oral ulcers induced in animal experimental models.We carried out a search in the Medline, Scopus, WoS and Embase databases from the start of the databases to December 2020, and also made a manual search of the references. The search and selection were carried out by two researchers independently. The inclusion criteria were: experimental studies in animal models, in english, which complied with the study object.Jasminum grandiflorum, Ficus deltoidea, curcumin and Bixina orellana provoked a significantly greater reduction in the size of the ulcer. Extracts of Salvatora persica, Musa acuminate, Ganoderma lucidum mycelia and Bixina Orellana, as well as preparations of Kouyanqing Granule and curcumin, were able to reduce levels of pro-inflammatory cytokines and increase the expression and serum levels of growth factors and anti-inflammatory cytokines. Extracts of Piper sarmentosus, Cannabis sativa and Bletilla striata provoked a reduction in the severity of the histological inflammation. No significant differences were observed compared to controls in the treatments with extracts of Cannabis sativa, Aloe barbadensus Miller and Malva sylvestris in reducing the area of the oral ulcers.A total of 705 articles were identified. After selection by title, abstract and full text, 19 articles were finally included. Natural extracts of Most of the natural extracts described in this review presented a positive clinical and histological effect on the cicatrisation of oral ulcers induced in animal models. Key words:Recurrent aphthous stomatitis, oral ulcer, plants, herbs, extracts, medicine, treatment. An oral ulcer is defined as a tissue loss that alters the epithelium and the underlying connective tissues . Its aet-Review protocolThe systematic review protocol was registered in the international prospective register of systematic reviews (PROSPERO) of the National Institute for Health Research database (www.crd.york.ac.uk/prospero), reference code number CRD42020209352. This review was prepared according to the Preferred Reporting Items for Systematic Reviews and Meta-analyses (PRISMA) guideline .-Search strategyA search was carried out in the MEDLINE, WoS, SCOPUS and EMBASE databases. A manual reference search was also carried out. The database search strategy is detailed in -Selection criteriaThe inclusion criteria were: experimental studies in animal models; in english; available from the beginning of the databases until december 2020; studies that aimed to evaluate the effect of natural extracts in the treatment of oral ulcers.in vitro studies; studies to evaluate effect of natural extracts on other pathologies of the oral mucosa.The exclusion criteria were: reviews, clinical trials, case series, case reports; published in other languages; human or -Study selectionAll the references identified were exported to the Mendeley\u00ae reference manager to facilitate the elimination of duplicates. The articles were reviewed by two authors independently ; when necessary, a third author (SW) resolved conflicts. Articles were selected first by title and abstract and then by full text, using the Rayyan tool.-Data extractionTwo data extraction Tables were prepared with the following information: first author and year of publication; total number of subjects and animal species; distribution of the experimental groups; method of induction of oral ulcers in animal model; type of treatment applied cont.; n-Risk of biasTwo authors independently assessed the risk of bias of the articles finally included. A third author resolved conflicts (ES). The Systematic Review Center for Laboratory Animal Experimentation (SYRCLE) guideline was usedA total of 705 articles were obtained; 47 were selected by title and abstract, and 19 articles were finally included by full text -48. All -Extracts usedGanoderma lucidum and IL-6 in tissues, and the excessive release of adrenocorticotropic hormone (ACTH) and corticosterone (CORT). It has been shown that lack of sleep can activate the hypothalamus pituitary adrenal (HPA) axis . KYQG ha placebo . Extractdiflorum , Bixina orellana , Musa acorellana ,40, Blet striata , curcumi striata , Ficus dlization ,31,44,47lization , less selization , and betlization ,44 and 1gel used . Extractix (ECM) . Cannabiix (ECM) . Freeze-ix (ECM) . It is aJasminum grandiflorum, Bletilla striata, Ficus deltoidea, curcumin, Bixina orellana, Chamomilla recutita and Musa acuminate provoked a positive effect in ulcer contraction, re-epithelialization, and serum levels of molecules that promote repair or accelerate the healing rate. No significant differences from the control groups were observed with the use of treatments based on cannabidiol, Aloe Vera and Malva sylvestris in the area of the oral ulcers.Extracts of"}
+{"text": "Antimicrobial resistance (AMR) is a global public health concern because of its fast spread. India, one of the world\u2019s top consumer of antibiotics and second most populated country has its unique constraints of social, cultural and economic strata. The continual self-medication, use of antibiotics for the growth promotion in animals, and accumulation of residual antibiotics in the environment challenge the implementation of AMR containment policy. Hence, the present review attempts to delineate the influence of antibiotics abuse on the human, animal and environmental health under the realm of one health. It was based on the literature search using public databases to highlight the rapid surge in the burden of AMR in India affecting various sectors and/or ecosystems in India. It was found that the irrational and overuse of antibiotics in different sectors have led to the emergence of extended antimicrobial resistance wherein the environment acts as a reservoir of antibiotic resistance genes (ARGs); completing the cycle of contamination and recontamination. There are efforts by government policy makers to reduce the burden of AMR in the country to reduce the health risks, through the One Health approach. Parallel efforts in educating healthcare professionals, strict legislation for pharmacies and pharmaceutical companies should be prioritize. At the same time surveillance of newly emerged AMR pathogens, prioritising research focusing on AMR, and awareness camps or programs among the local population is critical while addressing the consequences of spared of AMR in India. Discovery of the antimicrobial agents in the early twentieth century was a breakthrough to safeguard the public health from the microbial infection. Propensity of these compounds to kill pathogens influenced the discovery of novel antimicrobials. However, since the 1970s, soon after the discovery of the fluoroquinolones, no major antibiotics have been introduced , 3. The Bacteria are ubiquitous in nature; thriving in soil, water and air and, interconnectedness of ecosystems, featuring human, animals and environment collectively indicates that the burden of AMR is multifaceted in nature . AntibioblaNDM-1 and associated controversy necessitated the policymakers to initiate the development of AMR containment-related policies for India in 2011 . Mo. MoAcineectively . Thus, rc health , 29.Fig.E. coli or Salmonella species. Furthermore, there have been molecular investigations suggesting extended-spectrum beta-lactamase (ESBL)-producing and colistin-resistant E. coli from the poultry [The ever-increasing demand of animal-based food products compelled the producers to increase the usage of antibiotics and growth-promoting factors in the animal feed. The higher usage of antibiotics aids the better health of animals and also enable industries to abandon the responsibilities of maintaining hygiene and sanitation. Such ill-usage of antibiotics in the animal feed leads to bioaccumulation which was supported by observed traces of antibiotics in animal-based food products . Majorit poultry . Moreove poultry . The ant poultry . MoreoveStaphylococcus aureus have been isolated from the animals suffering from mastitis [Vibrio species and members of family Enterobacteriaceae [MDR strains like Vancomycin-resistant mastitis . Furthermastitis , 36. Mormastitis . Similarmastitis . Excessimastitis , 17. Stueriaceae , 17. Preeriaceae . Additioeriaceae \u201317, 33.The finding of antimicrobial-resistant microorganisms in humans, poultry, cattle and fishes reveal possible transmission and sharing of such microorganisms and antibiotic resistance genes (ARGs) between these organisms. However, the underlying mechanism of transmission and establishment of AMR is not well understood . Thus, ablaNDM-1, blaOXA-48, blaCTX-M and mcr-1 genes [NDM-1 genes are responsible for the development of drug resistance in pathogens and also provide an advantage to evolve as a superbug [Sewage plants receiving untreated or inadequately treated hospital and industrial effluents are a potential reservoir of AMR and ARGs. Discharge of untreated sewage into the rivers is a another major factor contaminating the river and facilitating the spread of AMR. Recent studies from India have indicated that the hospital waste carries significantly higher proportion of antibiotic residues, particularly the traces of broad-spectrum antibiotics . In the -1 genes \u201343. blaNsuperbug . Similarsuperbug , 41. Thesuperbug .blaNDM-1 were monitored during the seasonal pilgrimage on the bank of Ganga. The authors reported a 20-fold increase in prevalence during the pilgrimage [Acinetobacter, Corynebacterium and Brevibacterium which was isolated during the event show higher antimicrobial resistance [Corynebacterium godavarianum, a novel bacterium isolated during the Kumbh Mela 2015, was found to confer resistance against an array of antibiotics supporting the observed increase in antimicrobial resistance during the mass bathing event [India is a country of festivals involving several cultural events during the year, one such event is the Kumbh Mela. It is considered as the world\u2019s largest mass gathering event attracting millions of pilgrims for the duration of three months , 46. Thelgrimage . Similarlgrimage , 50. Antng event .Neisseria meningitidis serogroup W135 in 1968, 1987, 2000 and 2001, H1N1 pandemic in 2009, Middle East Respiratory Syndrome Coronavirus (MERS-CoV) in 2012, etc. Additionally, such a large participation also elevates the risk of stampedes or crush injuries, hence necessitates intensive planning and preparedness of the event to minimize the risk to the public health [India is one of the\u2009~\u2009184 countries that take part in Hajj pilgrimage at the Mecca, Saudi Arabia. Participation of pilgrims from these diverse countries has been associated with the morbidity and mortality at the event. In past, the Hajj has witnessed the burden of communicable diseases like, c health \u201354. Massc health , 52, 55.c health , 52. ThuThe striking observations of threatened humans, animal husbandry and fishery and, environment health due to growing antimicrobial resistance raise a serious concern Fig.\u00a0. Self-meTo address the ever-growing challenge of antimicrobial resistance and to safeguard public health, officials keep on upgrading the local policies by following the strategies outlined by WHO. The controversies related to the NDM-1 drew the attention of policy makers to initiate the National Policy on Containment of AMR in 2011 . The MinSimilarly, to safeguard the animal health, Food Safety and Standards Authority of India (FSSAI) has developed norms for the rational use of antibiotics. The FSSAI has banned the use of several antibiotics that could harm the fisheries and those used in the seafood processing . FurtherThe irrational and overuse of antibiotics in different sectors of India i.e., humans, food, animals and environment are responsible for the ever-increasing antimicrobial resistance (AMR), however, it has received little attention compared to its drastic impacts. Mitigation of the growing antimicrobial resistance would require strategies focusing on the one health approach. Initiative of the Indian government such as NAP-AMR policy along with the continued surveillance, awareness camps, and cross-continental research and training would enable combating the issue of AMR. Initiatives like designated AMR repositories by the Department of Biotechnology, Government of India at the National Centre for Cell Science, India would be helpful to generate and validate the emergence of AMR-related data in different sectors of India."}
+{"text": "The Coronavirus disease 2019 (COVID-19) outbreak in Ghana is part of an ongoing pandemic caused by the Severe Acute Respiratory Syndrome Coronavirus-2 (SARS-CoV-2). The first two cases of COVID-19 were confirmed in Ghana on 12th March 2020. COVID-19 was consequently declared a Public Health Emergency of National Concern, triggering several response actions, including enhanced surveillance, case detection, case management and contact tracing, closure of borders, suspension of international flights, ban on social gatherings and closure of schools. Preparedness and response plans were activated for implementation at the national, regional, district and community levels. Ghana's Strategic approaches were to limit and stop the importation of cases; detect and contain cases early; expand infrastructure, logistics and capacity to provide quality healthcare for the sick; minimise disruption to social and economic life and increase the domestic capacity of all sectors to deal with existing and future shocks. The health sector strategic frame focused on testing, treatment, and tracking. As of 31st December 2020, a total of 535,168 cases, including 335 deaths (CFR: 0.61%), have been confirmed with 53,928 recoveries and 905 active cases. All the regions have reported cases, with Greater Accra reporting the highest number. The response actions in Ghana have seen high-level political commitment, appropriate and timely decisions, and a careful balance of public health interventions with economic and socio-cultural dynamics. Efforts are ongoing to intensify non-pharmaceutical interventions, sustain the gains made so far and introduce COVID-19 vaccines to reduce the public health burden of the disease in GhanaNone declared The Coronavirus disease 2019 (COVID-19) outbreak in Ghana is part of an ongoing pandemic caused by the Severe Acute Respiratory Syndrome Coronavirus 2 (SARSCoV-2).6Most infections are asymptomatic, or patients present with mild symptoms, but some progress to a severe Acute Respiratory Distress Syndrome (ARDS), which is likely to precipitate a cytokine storm.The droplets may fall onto surfaces, and people could become infected by touching contaminated surfaces and touching their faces afterwards.Spread is highest during the initial three days after symptoms, but the spread is possible before the onset of symptoms and from asymptomatic individuals.22th of January 2020, several measures were instituted in Ghana as part of preparedness for COVID-19.th March 2020 and the confirmation of first two cases in Ghana on the 12th of March 2020 led to the declaration of COVID-19 as a Public Health Emergency of National Concern by Minister for Health, triggering a series of emergency preparedness activities to prevent and protect against COVID-19 in Ghana. This report provides an overview of preparedness and response to COVID-19 pandemic in Ghana over the period January to December 2020.Following the declaration of COVID-19 a Public Health Emergency of International Concern (PHEIC) by the World Health Organization (WHO) on the 30Preparations were initially health sector driven and included infrastructure, equipment, logistics and human resource capacity development and enhancement, public education and sensitisation, public and stakeholder engagements. There were press releases and media engagements to solicit the media's support, collaboration, and participation in providing updates and information to the public. Key activities for preparedness included the training of healthcare workers on the disease based on existing knowledge. Training also focussed on surveillance using developed case definition on COVID-19, Infection Prevention and Control for diseases spread by droplet infection and the appropriate use of Personal Protective Equipment (PPE).At the regional and district levels, preparedness and response plans for public health emergencies were revised, and Public Health Emergency Management Committees (PHEMCs) were activated. Rapid response teams were also activated and trained. The National Technical Coordinating Committee (NTCC) and the Emergency Operations Centre (EOC) were activated at the National level. The NTCC was constituted by Ministries, Departments and Agencies with a direct role in the response. The membership of the NTCC also included international organisations such as the WHO; Research institutions such as the Noguchi Memorial Institute for Medical Research and School of Public Health at the University of Ghana. The EOC was the operational arm of the NTCC and had four thematic areas- Surveillance, Laboratory, Case Management and Risk Communication. The NTCC was responsible for coordinating the preparedness and response for COVID-19 with the EOC leading in the implementation of preparedness and response plans at the national level. At the regional and district levels, the respective PHEMCs and Rapid Response Teams (RRTs) played the roles of the NTCC and EOC, respectively. All regions and districts activated their respective RPHEMCs and District Public Health Emergency Management Committees (DPHEMC) with daily meetings.Other preparedness actions were the development of case definitions for COVID-19 based on the WHO recommendations. Ghana adopted an extremely sensitive case definition to reduce the risk of missing a case. A health declaration form was adapted from the Ebola Virus Disease (EVD) form for use at all points of entry (PoEs). Appropriate testing kits were also provided to facilitate confirmation of COVID-19 cases in Ghana. The procurement of other logistics such as PPEs was also undertaken. Additional measures implemented as part of preparedness for COVID-19 included the use of thermal scanners and non-contact thermometers at POEs, the introduction of health declaration forms at POEs, restrictive entries (non-entry from countries with more than 200 cases), and ban on government officials from travelling.The Government of Ghana's response was driven by three key principles: All of Society Approach, All of Government Approach, and Data and Science.nd March 2020; a partial lockdown in the Greater Accra and Greater Kumasi Metropolitan areas from 30th March 2020 for three weeks; the banning of social gatherings including religious activities and funerals, and the closure of schools.Initial response actions to the confirmation of COVID-19 in Ghana were the closure of borders to neighbouring countries and suspension of international flights from 22th of April 2020; and EI 164 on 15th June 2020. These provided the legal basis for restricting movements and social gatherings and mandatory wearing of face masks, among other measures. The response was also driven by a political framework based on the involvement of all ministries and agencies across all levels of governance from the community, through the districts, regions, to the national level. At the national level, the health sector, in collaboration with other sectors whose function impact on the response, together with development partners , activated the national public health emergency plan Limit and stop the importation, detect and contain the virusSlow down and manage community spreadProvide adequate medical and psychosocial care for COVID-19 casesStrengthen Governance, Coordination and Accountability of COVID-19 ResponseMinimise the impact of COVID-19 on Social & Economic LifeIncrease Domestic Capacity and Self-Reliance including building and strengthening capacity for health research and InnovationsGhana's response actions harnessed the appropriate legal framework, including the Public Health Act 2012 (Act 851) of 2012, which grants powers to the Minister for Health in Public Health emergencies; the Imposition of Restrictions Act 2020 (Act 1012); Executive Instrument (EI) 68 of 2020 on the 17The coordination of the COVID-19 pandemic response at the national level was subsequently elevated to the Presidency with daily emergency operation meetings chaired by His Excellency the President of Ghana with the Vice President, entire Cabinet, and a team of experts in attendance. Leadership by the President provided assurance, a sense of ownership and commitment at the highest level in preparedness for the pandemic response in Ghana. An Inter-Ministerial Presidential Taskforce on COVID-19 was set up chaired by the President of Ghana. The President initiated a whole-of-government approach including Ministries of Health, Information, Interior, Communication, Education, Local Government, Trade and Industries, Environment and Sanitation, Environment Science and Technology, and Aviation. Each ministry was assigned specific tasks in the national COVID-19 response effort. The President appointed a Coordinator for COVID-19 at the Presidency and established a command centre for COVID-19.A team of public health experts, medical laboratory scientists and expert Physicians were involved in the rigorous assessment and review of data to inform decision and policy. Processes were started for early and frequent engagements with institutions such as the Schools of Public Health, the Ghana Academy of Arts and Sciences, Professional Groupings including the Ghana Medical Association, Non-Governmental Organisations (NGOs) and Civil Society Organisations (CSOs) such as Occupy Ghana.At the time of confirmation of the first two cases of COVID-19 in Ghana, only two laboratories, the Noguchi Memorial Institute for Medical Research (NMIMR) and the Kumasi Centre for Collaborative Research in Tropical Medicine (KCCR) could test for COVID-19. This presented challenges to the response with increasing numbers of suspected cases requiring testing leading to a backlog of samples. An aggressive drive to increase the capacity of the existing laboratories to test was instituted. This included recruiting additional staff and the institution of 24-hour workdays for the laboratories to reduce the backlog. In addition, other laboratories within and outside the health sector, such as the Veterinary Services Department laboratory came onboard to support testing and reduce the waiting period between sample collection and testing. Private laboratories were also assessed and accredited to provide testing for COVID-19 that further increased the capacity for testing and significantly reduced the waiting time. Thus, from two testing laboratories in April 2020, the number of laboratories capable of PCR testing for COVID-19 increased to 16 [4 private all in Greater Accra and 12 Public facilities ; Ashanti ; Volta ; Northern , Western (Veterinary Services Department Laboratory), Upper East . Six GeneXpert sites for SARS-CoV-2 testing were initially established with two functional at Cape Coast Teaching Hospital and Effia Nkwanta Hospital. Other GeneXpert facilities yet to be operational are Sunyani, Bolgatanga, Wa Regional and Sefwi Wiawso Municipal Hospitals. Thirty-two more sites were identified and are to be equipped to provide GeneXpert testing services for COVID-19.The laboratory component of the response also saw a significant increase in the human resource capacity for PCR testing in Ghana. Biomedical scientists and other laboratory staff received training from the NMIMR and the KCCR to provide PCR testing services. A laboratory network was also established at the national level, with a Coordinator appointed to oversee the work of the network, including the management of logistics for sample collection, transport and testing.Laboratory testing policy, guidelines and job-aids were developed, and staff were trained on them for immediate use. Real-time Reverse Transcription Polymerase Chain Reaction (RT-PCR) has been the mainstay of diagnosis and laboratory confirmation. Initially, testing was based on case definition, testing of close contacts, enhanced contact tracing (community screening). Prioritised testing of suspected cases, contacts, exposed health workers, students and at-risk groups was later adopted as part of the laboratory response strategy. The testing policy required initial PCR and double exit testing to assess recovery and discharge from the caregiving pathway. Following the revision of the National discharge and recovery policy, the mandatory exit testing was stopped. The pooling method was adopted initially but was suspended when the test positivity rate increased. Rapid diagnostic testing at Kotoka International Airport (KIA) using Immuno-fluorescent assay technology was introduced as part of measures to re-open KIA. Part of the laboratory response measures included evaluating the Rapid Diagnostic Test kit by the Food and Drugs Authority (FDA) in collaboration with the Noguchi Memorial Institute for Medical Research (NMIMR). At the end of December 2020, a total of 70 test kits had been evaluated. All 70 kits did not meet the set criteria for acceptability and use in Ghana for COVID-19 testing.Surveillance was a key component of the preparedness phase for COVID-19 in Ghana. It remains a useful component of the response phase. It includes routine surveillance through case definitions, enhanced surveillance and contact tracing to ensure early case detection and management. At the onset of the outbreak globally but before the recording of the first two cases of COVID-19 in Ghana, the working case definition adopted was:Suspected Case: A person presenting with fever (>38\u00b0C) or a history of fever and symptoms of respiratory tract illness, e.g., cough, difficulty in breathing AND in the last 14 days before symptom onset, a history of travel to China or any other affected countryORAND in the last 14 days before symptom onset, close contact with a person who is under investigation or confirmed for 2019-nCoV.A person with fever (>38\u00b0C) or a history of fever and symptoms of respiratory tract illness, e.g., cough, difficulty in breathing Confirmed Case: A suspected case with laboratory confirmation of 2019-nCoVFollowing the confirmation of cases in Ghana and the subsequent establishment of community spread in Ghana, the case definition was appropriately amended as:Suspected Case: A person presenting with fever (>38\u00b0C) or a history of fever and symptoms of respiratory tract illness e.g., cough, difficulty in breathing OR other symptoms such as loss of sense of smell, loss of sense of tasteORAND the last 14 days before symptom onset, close contact with a person who is under investigation or confirmed for COVID-19A person with fever (>38\u00b0C) or a history of fever and symptoms of respiratory tract illness e.g., cough, difficulty in breathing or loss of sense of taste and/or smell Confirmed Case: A person with laboratory confirmation of SARS-CoV-2 with or without symptomsst and 22nd March 2020, 105 were positive for COVID-19 . Mandatory quarantine ceased temporarily when international flights were banned but was resumed when the government approved evacuations which lasted till 1st September 2020.The overall objective of surveillance was to limit and stop the importation of cases among foreign travellers and reduce the local spread of the disease. Several activities were implemented as part of surveillance measures, including training of port health and other PoE staff , closure of all borders and introduction of mandatory quarantine. Mandatory quarantine for 14 days was enforced during the early phase of the pandemic in Ghana. This involved initial laboratory testing, daily monitoring for signs and symptoms of COVID-19 and exit testing at the end of the 14-day quarantine. Out of the 1,030 passengers who were quarantined upon arrival at KIA on the 21Development of surveillance and contact tracing guidelines, standard operation procedures (SOPs), and job-aidsTraining of health staff on the implementation of the guidelines and SOPsEnhanced contact tracing Use of call centres and toll-free emergency phone linesRegional Rapid Response Teams were trained, provided with enablers and rendered operationalContact tracing was decentralised and was conducted by district teams with the support of regional and national level teamsSurveillance Outbreaks Response Management and Analysis System (SORMAS), an open-source online mobile e-Health system that processes disease control, outbreak management procedures, disease surveillance, early detection of outbreaks and also software for management for epidemiological data, was deployed and scaled up nationwide for real-time electronic data collection and transmissionA barcode system to link surveillance and laboratory data was developed and implementedAdditional measures implemented to aid detection and containment of cases were the:th of March and 31st December 2020, the surveillance system confirmed 55,168 cases of COVID-19 from a total of 672,364 tests performed, giving a positivity of 8.2%. Among these were 705 cases recorded among international arrivals at the Kotoka International Airport. A total of 335 deaths were reported among the confirmed cases of COVID giving a case fatality rate of 0.61%. Ghana recorded the first major wave of COVID-19 cases between June and August 2020 with the 2nd of July 2020 recording the highest number of cases in a day (774). The trends in COVID-19 cases reported in Ghana between the 12th of March and the 31st of December 2020 are shown in Between the 12st of December 2020. The regions reporting the most cases were the Greater Accra, Ashanti, Western, Eastern and Central Regions. The Greater Accra region alone accounted for more than 50% of the reported cases. The North East Region recorded the lowest number of cases,22. The cumulative COVID-19 cases by region from 12th of March 2020 to 31st December 2020 is as shown in All 16 regions had reported cases of COVID-19 as of the 31st of September 2020. As part of measures to ensure the safe opening of the airport and to reduce the risk of COVID-19 transmission at the airport, the following measures were undertaken:Re-configuration of infrastructure to ensure adequate physical and social distancingLogistics for hand hygieneInstallation of operational booths for Port Health staffInstallation and establishment of an electronic data collection system for the health declaration form (HDF) and network connection of the HDF with the testing laboratory at the KIAWorkshops for airline operators on the guidelines on COVID-19 safety for international travelsSimulation exercises on planned passenger flow for airport re-openingRecruitment of additional staff such as nurses, doctors, disease control officers and clinical psychologists to strengthen their capacityEstablishment of a laboratory at KIA to conduct COVID-19 testing using immune-fluorescent antigen technologyEstablishment of a holding area for COVID-19 positive casesProvision of ambulances to transfer confirmed cases to designated treatment centresThe closure of the airport to international travel was the initial response to the pandemic in Ghana. After months of closure, the Kotoka International Airport (KIA) was re-opened on the 1Other activities implemented at KIA included completing the Electronic Health Declaration, an inspection of PCR test results from the country of origin for arriving passengers, temperature checks and disclosure of COVID-19 test results, isolation and transfer of COVID-19 Positive cases and contact tracing for passengers arriving at KIA.For three weeks, the Enhanced Contact Tracing strategy was adopted to ensure early case detection and establish the extent of community spread, especially in high burden regions and partial lockdown areas in the Greater Accra and Greater Kumasi regions. Teams were trained, resourced, and deployed to test, track and link cases to care. All identified and traced contacts of confirmed cases during the lockdown period were contacted and tested for COVID-19. Approximately 150,000 tests were undertaken during the lockdown period. Multisector contact tracing teams involved national security, immigration, and health workers. Heat maps were developed, and these provided evidence of community spread.Risk communication and social mobilisation was a key thematic area in Ghana's preparedness and response strategy. The Ministry of Information led this thematic area in collaboration with the Health Promotion Division of the Ghana Health Service and the National Commission for Civic Education, among others. Several strategies were adopted as part of risk communication and social mobilisation. At the highest level, regularly scheduled broadcasts by the President of the Republic were employed to update the public on measures implemented by the government in response to the outbreak. These broadcasts by the President were also used to announce health policy initiatives and other critical non-health government interventions. The broadcasts by the President of the Republic were very insightful, and the origin of the now popular expression \u2018Fellow Ghanaians\u2019, which was a call to action by all, can be traced to those Presidential updates.In addition to Presidential broadcasts, regular press briefings were part of the risk communication and social mobilisation strategies. The Ministry of Information, the Ghana Health Service, and other stakeholders provided the general public with scheduled media briefings. Subject matter experts and partners, including the Ghana Medical Association, Academia and the Ministry of Communications, were active participants in the press briefings at various points in time. One key message from such briefings was the refrain \u2018the virus only moves when people move\u2019, which helped emphasise the critical role of all Ghanaians during the critical lockdown period. Parliamentary briefings by the Minister of Health and/or Director-General of the Ghana Health Service were also implemented as part of the communication strategy.The risk communication strategy also included developing and disseminating key messages on COVID-19 to the general population. Public education on COVID-19 across regions, districts and at the community level using traditional and social media have been key components of the risk communication strategy. Other strategies employed included the broadcast of COVID-19 related messages on screens at PoEs, media engagements providing information on the disease and its prevention, media monitoring to identify challenges and misinformation on COVID-19, tour of media personnel to PoEs to provide them with a clear understanding of the operations of the Port Health Unit of the GHS and the engagement of other key stakeholders such as the National and Regional Houses of Chiefs.Ghana adopted two main approaches towards case management. The first approach was isolating persons with COVID-19 at designated treatment centres , all Teaching Hospitals, all Regional Hospitals, and some District Hospitals). The second approach was home isolation for asymptomatic and mild cases with no underlying medical conditions such as diabetes mellitus or hypertension.Development of case management protocols, guidelines, and job-aidsStaff training on the protocols and guidelines and capacity building, including infection prevention and controlExpansion of infrastructure for holding suspected cases and isolation of confirmed cases in all health facilitiesExpansion of isolation centres and provision of equipment, PPEs, medication, and consumablesInclusion of clinical psychology services for patient supportRe-assignment and deployment of selected staff of teaching hospitals with expertise in critical areas like intensive care and acute medicine to various treatment centres to facilitate the care of critically ill patients.In preparation for case management and care of the sick, the following were put in place to provide healthcare and appropriate health interventions for persons with COVID-19:Case containment was a critical component of the Case Management strategy. Various activities were implemented to ensure containment, which is key to reduce the risk of disease spread.All health facilities were directed and supervised to establish and operate designated holding rooms for suspected cases of COVID-19.Metropolitan, Municipal and District Assemblies (MMDAs) partnered with the Ghana Health Service to provide quarantine facilities in their respective districtsThe national policy and guidelines on quarantine made provisions for mandatory and self-quarantine under supervision. Provisions for mandatory quarantine were enforced when conditions for self-quarantine could not be met.Public-Private partnerships were used to secure more facilities for quarantine and isolation (with designated Isolation centres such as Pentecost Convention Centre (PCC), TUC (buildings in Accra and other regions), and the Ghanaman Centre of Excellence in Prampram)Designated Treatment Centres included Tema General hospital, Ga East Municipal Hospital, Greater Accra Regional Hospital, Korle-Bu Teaching Hospital, Kumasi South, Komfo Anokye Teaching Hospital, Frimpong Boateng Medical Centre, and the Nyaho Medical Centre) Newly constructed Ghana Infectious Diseases Centre (100 bed capacity) at Ga East Municipal Hospital, AccraThe following were some critical components of measures aimed at case containment in Ghana's response to COVID-19:The National Ambulance Service supported the response by providing ambulances at vantage locations, including the Kotoka International Airport, to transport suspected and confirmed cases. The drone delivery services were also employed in the delivery of test samples.The health system also set out to ensure prompt linkage to care for schools. To improve school health efficiency and quality, the schools were linked with the District Health Management Teams (DHMT) and nearest health facilities. All senior high schools were supported to establish or upgrade their infirmaries, and these were linked to health facilities in the respective districts. Training of heads of schools, teachers and school health staff was undertaken.A strategic effort was initiated for incremental procurement and stockpiling of essential supplies of PPEs. Measures were also started for local production of PPEs. More PCR machines, laboratory testing kits, infection prevention and control logistics such as hand washing facilities and equipment were procured and distributed. An active drive was initiated to expand infrastructure by identifying and converting facilities such as Ga East hospital to a treatment centre. Other facilities used as treatment centres were the Debrah Ward at 37 Military Hospital, University of Ghana Medical Centre (UGMC) and Frimpong Boateng Medical Centre in the Ashanti region. With these measures, the bed capacity for case management, which was 13 , now increased to about 1,000 beds, including Intensive Care Units (ICUs) and High Dependency Units (HDUs).involvement of private health facilities in the management of public health emergencies saw significant improvement as several private health facilities and laboratories have been accredited and licensed to provide COVID-19 testing and manage cases to complement the efforts of government facilities.The private sector support of Ghana's response extended to establishing the first Ghana Infectious Disease Centre (GIDC) at the Ga East Municipal Hospital. This well-equipped centre was constructed and furnished with funds solely from the private sector and handed over to the Government of Ghana to manage COVID-19 cases. This was a useful addition to Ghana's COVID-19 response and had the potential to be used to manage any future outbreaks of infectious diseases.Non-governmental organisations were also involved in the public education drive for COVID-19, including the development and dissemination of information on COVID-19 safety and the provision of billboards and other communication media. The private sector contributed significantly to the Ghana COVID-19 National Trust Fund established by the government to provide a channel for resources from the non-governmental sector to be pooled in support of the government's efforts towards COVID-19 response. Resources mobilised by the Fund have been useful in the COVID response supporting several activities, including procurement of personal protective equipment and other essential logistics.A team led by the Ministry of Health's Policy Planning Monitoring and Evaluation Directorate mobilised resources for Ghana's COVID-19 response. One major activity of this team was developing a COVID-19 Strategic Plan and Budget (2020\u20132024) with an estimated budget of over 600 million USD. The plan's development involved all relevant stakeholders and included the thematic leads from the laboratory, surveillance, case management, infrastructure, risk communication and social mobilisation. This plan was the basis of the development of the first Project Appraisal Document for the World Bank, for which an initial amount of 100 million dollars was raised to cover all the thematic areas.During the outbreak, mentorship and partnership with academia and other experts were also established. Furthermore, retired clinical and public health experts were engaged to provide technical support to the COVID-19 response. The retired consultants were also involved in monitoring, mentoring and evaluation of the response. Outputs from the engagements informed policy decisions.The government of Ghana instituted several social interventions as part of the response efforts for COVID-19. Among the many social interventions were:Provision of food to some residents in the Greater Accra and Greater Kumasi areas:During the lockdown in Greater Accra and the Greater Kumasi Areas in March and April 2020, the government provided hot meals to about 400,000 vulnerable individuals and homes.The meals were distributed at designated points within the cities, such as the Efua Sutherland Children's Park in Accra. In addition, the government also provided dry food packs for some 470,000 families.25Absorption of Water bills and Subsidy on Electricity bills:The government absorbed the water bills for all consumers for six months from April 2020. In addition, public pipe-borne water stands and water tanker distribution services were provided. The government also provided a 50% rebate for all consumers of electricity and provided free electricity for customers on the lifeline tariff for nine months from April to December 2020.26Tax exemption and other social interventions for healthcare workers: as part of response measures, the government also exempted payment of tax on the employment emoluments of healthcare workers from April 2020 to December 2020. In addition, healthcare workers working directly in the COVID-19 response classified as frontline healthcare workers received a 50% of their basic pay as a top-up to their monthly earnings from April to December 2020. Frontline healthcare workers were also provided insurance cover of up to 350,000 Ghana Cedis per worker. In addition to these, free transportation was provided for some healthcare workers in Accra, Kumasi, Tema and Kasoa.27Despite the many useful actions undertaken as part of health sector preparedness and response to the COVID-19 pandemic in Ghana, several challenges were identified. Key among these challenges were sporadic shortages of PPEs, geographical limitations in testing for COVID-19, delays in receipt of COVID-19 tests, lack of staff to manage treatment centres and shortage of COVID-19 laboratory reagents. The shortage of PPE was addressed through the increased procurement of PPEs and the streamlining of the distribution of PPE through a sub-committee of the NTCC, the Commodities Sub-committee. This sub-committee was also instrumental in addressing laboratory reagent challenges. On staffing challenges, staff training to provide critical care services was undertaken in addition to the secondment of specialised clinical care staff from teaching hospitals to treatment centres. The expansion of laboratory testing services to include private laboratories improved the turnaround time for sample processing to about 48 hours compared to several weeks during the early phases of the pandemic, causing a reduction in the pressure brought to bear on the main testing sites, NMIMR and KCCR. The expansion of laboratory testing services also improved geographic access to COVID-19 testing, although a significant proportion of testing laboratories are in Accra. Some of the interventions to alleviate the pandemic's adverse social and financial challenges, like distribution of food during lockdown, had operational challenges resulting in dissatisfaction.The numerous useful lessons from Ghana's response to the COVID-19 pandemic must be further studied and integrated into routine preparedness planning in Ghana. Key issues such as multisectoral collaboration, high-level political commitment, mobilising whole of government and society, private sector involvement and continuous engagement of the general population are useful, and high impact approaches for pandemic response and management of other public health emergencies.Emerging and re-emerging infections pose major threats to global health security. The COVID-19 pandemic has demonstrated the need for adequate and updated preparedness, with the availability of minimum core capacity for preparedness and response to epidemics. It is always difficult to predict when and where the next pandemic will emerge. Pandemic management and complex public health emergencies require multiple disciplines, sectors, and government apparatus. Additionally, good governance and leadership are crucial for effective, efficient, and successful management of pandemics and other complex public health emergencies, and Ghana's experience has demonstrated this."}
+{"text": "According to Brown and Cai, Thyroid hormones (THs) have been considered \u201cthe first developmental morphogen ever discovered\u201d . This asXenopus tropicalis metamorphosis, both the cross-talk of THs and glucocorticoids and the intestinal morphogenesis are explored using state-of-the-art functional genomic and developmental biology approaches by Buisine [This article collection highlights the role of THs in different tissues, taking into account data from classical and novel models. The work of Esposito et al., gave an insight on the evolution of THs signalling comparing the homologies of the available sequences of TPO, DIOs, and THRs. Thus, their study supports the hypothesis of the evolutionary adaptation of a functional thyroid hormone signaling in non-vertebrate chordates . Nittoli Buisine and Shib Buisine , respectThroughout these articles the roles and mechanisms of action of THs are covered in different fields of interest including non-mammalian models. Taken together, these contributions should be of wide interest for both scientists of fundamental fields and physicians for translational approaches."}
+{"text": "On July 15, 2021, the Secretary of Health of Honduras (SHH) was notified of an unexpected number of mucormycosis cases among COVID-19 patients. SHH partnered with the Honduras Field Epidemiology Training Program, the Executive Secretariat of the Council of Ministers of Health of Central America and the Dominican Republic (SE-COMISCA), Pan American Health Organization (PAHO), and CDC to investigate mucormycosis cases at four geographically distinct hospitals in Honduras.Mucormycosis is a severe, often fatal disease caused by infection with angioinvasive molds belonging to the order Mucorales. Risk factors for mucormycosis include certain underlying medical conditions and the use of certain immunosuppressive medications ,Given the severe outcomes associated with mucormycosis, clinicians should remain vigilant for this disease during the COVID-19 pandemic, including in immunocompetent patients. Early mucormycosis diagnosis is possible, even in resource-limited settings ("}
+{"text": "Venous thromboembolism, a complex disease combining deep vein thrombosis (DVT) and its most dangerous complication, pulmonary embolism (PE), strikes millions of people worldwide. For example, in the United States only, DVT develops in up to 600,000 individuals annually, and 100,000\u2013180,000 deaths from VTE are estimated each year .Studies in the field of venous thrombosis cover several aspects of the disease. Discovery of the mechanisms of thrombosis initiation and propagation could help prevent its development in individuals at risk. Exploration of the routes of thrombus resolution is essential to reduce deleterious effects of the formed clot. Finally, search for specific biomarkers is necessary for both verification of the diagnosis and, importantly, prediction of the probability of thrombosis. A review by Anghel et al. in this issue Journal presents a set of previously known as well as novel biomarkers of venous thrombosis and discusses their potential benefits and limitations in diagnosis and building the treatments strategy for DVT .Separate mechanisms of DVT in certain pathological conditions are relatively well understood. For example, the role of tissue factor in cancer-related DVT has been established . Howevervasa vasorum and receives oxygen and nutrients from the blood inside the vessel. Blood flow stagnancy results in limited supply of oxygen and local hypoxia of both endothelium and subendothelial layers, which leads to formation of reactive oxygen species (ROS) [Venous wall does not contain es (ROS) . An impoes (ROS) . In thises (ROS) . AuthorsAccording to the currently predominant concept, PE develops when a thrombus or its part gets dislodged from the site of initial formation and travels all the way to the lungs where it occludes branches of the pulmonary artery. However, clinical evidence suggests that in many cases, clots in the lungs are observed in the absence of primary thrombosis elsewhere. Porembskaya et al. discuss an alternative scenario, in which systemic prothrombotic and proinflammatory milieu could mediate the development of thrombi in lungs in situ independently of DVT . AccordiThe coverage of VTE-related topics would be incomplete without its clinical aspects. Patel et al. present a comprehensive analysis of existing approaches for diagnostics and prediction of VTE . The artIt is known that pulmonary hypertension (PH) is frequently observed and serious complications of PE . A studyIn conclusion, this Special Issue presents new data and state-of-the-art overview of major aspects of venous thrombosis, such as its development, resolution, diagnosis, and potential biomarkers. This information may be useful to both basic scientists and clinicians dealing with this debilitating and life-threatening disease."}
+{"text": "Linguistic phenotypes of individuals with Fragile X (FXS) and Williams (WS) syndromes exhibit various degrees of pragmatic impairment, involving difficulties in social communication and in adapting to conversational principles. The goal of the present study was to explore syndrome-specific pragmatic profiles of adults with FXS and WS based on the assessment of the observance of Gricean maxims of conversation. The participants were 12 Spanish-speaking adults (6 FXS/6 WS), without a diagnosis of ASD, whose extensive naturalistic conversations were transcribed and coded with the CHILDES/TALKBANK tools and the PREP-CORP pragmatic protocol. Violations of the maxims of conversation were analyzed, and indexes of cooperation and conversational response were obtained. Both groups showed reduced verbal production and repetitive dysfluencies; prominent features in the FXS profile were higher proportion of non-contingent language, perseverations of topic and form, and impulsive conversational responses; in the WS profile, salient characteristics were higher proportion of tangential utterances, reformulations, and conversational responses reflecting overly literal interpretation. Pragmatic profiles of violation of conversational maxims reflect specific communication skills impaired in adults with FXS and WS and raise the need for assessment and intervention methods that specifically address their social communication abilities. Fragile X syndrome (FXS) and Williams syndrome (WS) are neurodevelopmental genetic disorders characterized by specific phenotypical profiles of relative strengths and weaknesses in the neurocognitive domain, including intellectual disability and a range of behavioral problems ,2,3,4,5.FXS is the most common identified cause of inherited intellectual disability. It is caused by the mutation of the Fragile X Mental Retardation gene (FMR1) at the chromosome Xq27.3 and the consequent lack of the Fragile X Mental Retardation Protein (FMRP), which is predominantly expressed in neurons [WS is a rare neurodevelopmental disorder caused by the heterozygous deletion of 25\u201327 genes at chromosome 7q11.23, which has a complex genomic architecture, and its multisystemic phenotype is characterized by mild to moderate intellectual disability, cardiovascular disease, and distinctive facies .As expected for an X-linked disorder, males with FXS tend to exhibit more cognitive and behavioral problems relative to females with FXS, and most of the research on FXS has targeted males . ConversThe phenotypical outcomes have implications for language profiles in both syndromes, which present within-syndrome and cross-syndrome differences. Within-syndrome analyses typically display uneven profiles of relative strengths and weaknesses. In parallel, cross-syndrome analyses reveal profiles with shared and syndrome specific features ,9,10,11.Despite marked differences in social orientation, FXS and WS share asynchronous profiles of pragmatic weakness that arise in social communication contexts ,10,11. HPragmatic skills have been investigated independently in both syndromes or in contrast with other neurodevelopmental disorders, such as Down syndrome, in search for specific profiles , but to Pragmatic impairment was primarily considered a symptom of autism in early studies, although it was soon differentiated from autism and included, within the Language Development Disorders, as a Semantic-Pragmatic Disorder (SPD) when it occurred \u201cwithout autism\u201d . SPD wasFinally, it was included in the latest version of DSM-5 as the diagnostic category of \u201cSocial (Pragmatic) Communication Disorder (SPCD)\u201d . SPCD isIndividuals with FXS and WS exhibit pragmatic difficulties in social interaction and communication, including problems in maintaining a conversation topic, perseveration, repetitive language, impulsivity, and inappropriate responses . ResearcNarrative skills are a crucial aspect of social communication and provide a means for investigating aspects of the microstructure and macrostructure of discourse as it is produced in natural contexts. Those aspects of narratives have been addressed in several studies of individuals with WS or FXS alone or compared with other populations with neurodevelopmental disorders, such as Down syndrome, revealing specific weaknesses in macrostructure aspects ,34,35,36Even more scarce are the studies on conversational discourse both in FXS and in WS. In one of the first conversational analyses of males with FXS, Sudhalter et al. reportedIn addition to perseverative speech, individuals with FXS exhibit tangential language, defined as personal and highly idiosyncratic associations of words, phrases, or topics that are not pertinent to the thread of conversation . DysflueIn contrast with FXS, social cognition of adolescents with WS was described initially as a strength, as they showed awareness of listener needs, engagement to the listener, and affective expression in narratives . Their cSubsequent analyses of conversations of individuals with WS indicated that more than 25% of the utterances were inappropriate, which in half of the cases were due to problems of expressive syntax and semantics and insufficient quantity of information provided . Social Pragmatic difficulties in social interaction and communication are often described as autistic symptoms in individuals with intellectual disabilities of genetic origin ,50. AutiAutistic symptoms in FXS might then differ from those of non-syndromic ASD . Social Individuals with WS were initially characterized by a profile of hypersociability and were thus considered to represent the polar opposite of autism in the social and communicative domain . Only inASD comorbid diagnosis in neurodevelopmental disorders may have clinical utility to characterize phenotypic variability, although it is partially based on pragmatic impairments that are not clearly differentiated from those also observed in FXS without autism. If RRB-like features are not present, a more accurate characterization of pragmatic impairment in many individuals with intellectual disability of genetic origin might be provided by DSM-5 diagnosis of Social (Pragmatic) Communication Disorder (SPCD) .The assessment of the pragmatic profile in individuals with intellectual disability is frequently oriented to comorbid diagnosis of ASD, especially in the case of FXS. Therefore, it is based in many cases on instruments designed for autism screening, such as the ADOS-2, ADI-R, Autism Screening Instrument for Education Planning (ASIEP-3), Social Communication Questionnaire (SCQ), and the Social Responsiveness Scale (SRS-2) ,73,74,75Oral language sample analysis is considered the most valid procedure for pragmatic evaluation , such asTaking into account the scarcity of studies on pragmatic impairment and of instruments for its assessment in neurodevelopmental genetic syndromes, the present study had two main objectives: (1) to explore the pragmatic profiles of adults with FXS and WS based on analyses of conversations; (2) to determine the feasibility of the PREP-CORP protocol for assessing pragmatic features in speech corpora.-Maxim of quality (MQL): truthfulness and adjustment to world reality.-Maxim of relation (MRL): non-related, tangential, and perseverations of topic.-Maxim of quantity (MQT): redundant, vague, excessive, and reduced utterances.-Maxim of manner (MMN): repetitions, reformulations, perseverations of form, and alterations of the syntactic order.-AVI of cooperation: aggregate index of violations of all the maxims.-AVI of conversational response: incomprehension, literal interpretation, impulsivity, and echolalia.The PREP-CORP protocol includes a section that allows the coding and quantification of the observance of Grice\u2019s cooperation maxims in conversational utterances. Consequently, the specific objectives of the study were focused on calculating aggregate violation indexes (AVIs) and conducting between-group and within-group comparisons of the following maxims and types of violations:Analyses were expected to yield within-syndrome differences in the types of violations of conversational maxims; and also, cross-syndrome comparisons were expected to show profiles with overlapping and syndrome-specific conversational features.The conversational speech samples were elicited from two groups of Spanish-speaking participants: 6 adult males with FXS and 6 adults with WS . The total size of the speech samples collected was 71,859 words . The participants belong to a larger sample from the SYNDROLING Project . InclusiThe transcripts were coded using the PREP-CORP Pragmatic Evaluation Protocol , adapted(a)Maxim of Quality (MQL)*INV: and what are you working on here nowadays?*PAR: on nothing.%xepr:$i5:MQL:IMP(b)Maxim of Relation (MRL)*INV: (that cap) do you know which team it belongs to?*PAR: of basketball.%xepr:$i5:MRL:TNG:ICOM:LIT(c)Maxim of Quantity (MQT)*INV: why she was called so?*PAR: she was called so.%xepr:$i5:MQT:RUT:ECH(d)Maxim of Manner (MMN)*INV: what happened to the wolf and the stones?*PAR: and then what else? (.) and then (.) and then something else (.) and then something else (.) and then something else yet (.) and then something else yet about stones.%xepr:$i5:MMN:REP:PER_FThe following are examples of PREP-CORP coding for each of the maxims:Speech samples were collected in spontaneous dyadic conversations with an experienced researcher using audiovisual recordings .A certain degree of standardization was introduced by the researcher prompting common topics to all participants, in line with the procedures developed by Abbeduto et al. . The topt-test for independent and related samples. In addition to significance tests, estimates of the magnitude of the observed effects were calculated according to criteria and procedures provided by Ellis [r family (based on correlations), and d family (based on mean differences). Although d is recommended to generalize the impact, r is considered a more flexible and ecologically valid statistic when the sample is small. Therefore, a multiple perspective using both r and d was adopted [In order to control for the differences in grammatical complexity and lexical diversity, mean length of utterances in words (MLUw) and number of different words (NDW) were calculated for both groups. The frequency of the different types of violation of the maxims was also calculated using the CLAN software from the CHILDES project. In order to control for the differences in the size of the transcripts, violation indexes (VI) were calculated: frequency of each type of violation per thousand words. The sum of the VIs provided aggregate violation indexes (AVIs) of each maxim. In turn, the four AVIs were added to obtain an AVI of cooperation (AVIofCOOP), as a global pragmatic measure. An AVI of conversational response (AVIofCONRES) was also calculated from the optional tags. The between-group and within-group differences in the VIs and AVIs were analyzed using the Student\u2019s by Ellis . There a adopted .t-tests, were not statistically significant: MLUw ; NDW .Differences between the two groups on the previous control variables of grammatical complexity (MLUw) and lexical diversity (NDW), assessed with t-test comparisons. The FXS group presented a significantly higher proportion of violations than the WS group in the maxim of relation (MRL) and, specifically, in the topic perseverative utterances (PER_T). Concerning the types of violation of the maxim of manner (MMN), the FXS group presented a significantly higher proportion of violations in perseverations of form (PER_F), while the WS group presented a significantly higher proportion of violations in reformulations (REF). No significant between-group differences were observed in the aggregate measure of violation of the cooperation (AVIofCOOP).t = \u22123.229; p = 0.023; d = \u22121.986; r = \u22120.704) and NRL < PER_T ; in the WS group, NRL < TNG and NRL < PER_T .In the types of violations of the MRL , within-group comparisons yielded the following statistically significant differences: in the FXS group, NRL < TNG , VUT > EVP , and RVP > EVP and in the WS group, RUT < VUT and VUT > EVP .In the types of violations of the MQT , within-group comparisons yielded the following statistically significant differences: in the FXS group, RUT > EVP and REP > ORD and in the WS group, REP > ORD , REP > PER_F , REF > ORD , REF > PER_F , and ORD > PER_F .In the types of violations of the MMN , within-group comparisons yielded the following statistically significant differences: in the FXS group, REP > REF ; MQL < MQT ; MQL < MMN . In the WS group, within-group differences were MQL < MQT , MQL < MMN , MRL < MQT , and MRL < MMN .t = \u22122.352; p = 0.041), IMP , and ECH . Within-group differences were found only in the FXS group between ICOM > LIT and IMP > LIT .t = \u22123.827; p = 0.008; d = 2.44; r = 0.77).The sum of the VIs resulted in a global measure of conversational response (AVIofCONRES) for each syndrome: FXS group and SW group . These differences were statistically significant as a significant marker of the speech disorder of individuals with WS, which has been explained considering the cognitive and linguistic demands of the narrative and conversational tasks, in terms of language processing and planning . ReducedBetween-syndrome comparisons of the global index of violation of conversational cooperation in the FXS and the WS groups yielded no statistical differences. However, the present study found some similarities and a number of important differences in their profiles of pragmatic impairment. In both groups, violations of the maxims of quantity and manner were particularly high, while violations of the maxim of quality were less frequent. These findings may suggest an asynchrony between the pragmatic profiles and the underpinning lexical and grammatical skills. The inadequate use of language in conversation, with regard to the informative needs of the interlocutor, might not be consistent with the relative strengths observed in the lexical and grammatical levels, especially in WS ,9,10,11.The most striking difference between the profiles was a significantly higher index of violations of the maxim of relation in the adults with FXS, which indicates that their utterances tended to be more inappropriate or non-contingent. More specifically, regarding the contextual relevance, participants with FXS produced more tangential utterances and, above all, more topic perseverative utterances. These findings are consistent with the results of Roberts et al. indicatiDespite the fact that violation of the maxim of manner reached similar levels in both groups, prominent differences were also observed concerning the types of violation. On the one hand, perseveration of form was significantly higher in the FXS group, which confirms a great tendency to topic and phrase perseveration as the most salient feature of conversational discourse in people with FXS, as it had been observed in previous studies ,41,43. IThe analysis of the conversational response also revealed differences between the FXS and the WS groups, and it was significantly more impaired in the FXS group, also showing a more differentiated within-syndrome profile. In both syndromes, impulsivity and incomprehension were the more frequent characteristics of inadequate responses, accounting for more than 70% of the index, while participants also exhibited a tendency to an overly literal interpretation of utterances. Such pragmatic difficulties in processing syntax and semantics in context have been commonly observed in atypical populations, including FXS, WS, and ASD, and have been linked to theory of mind and metapragmatic deficits, which may reflect a failure to integrate a situation model including the speaker\u2019s intent and the rest of the communicative context ,98,99. QThe participants with FXS showed a much higher index of impulsivity, which is associated with ADHD and considered part of the core behavioral phenotype of the syndrome ,103. ResResponses indicating incomprehension of the conversation topic were also significantly more frequent in the participants with FXS, which could suggest an area of weakness, as it was observed in early communication by Roberts et al. using a Echolalic responses were significantly higher in the FXS group, albeit far less frequent than self-repetitions, which is consistent with previous studies indicating a profile of low proportion of echolalia in individuals with FXS vs. high proportion in ASD ,109. TheThe results of the present study show that individuals with FXS and WS without a diagnosis of ASD may exhibit different degrees and profiles of pragmatic impairment ,86, and It is important to acknowledge several limitations of the present study. The sample size was small and did not control for gender differences, for which reason the objectives were defined as exploratory. The consequent lack of statistical power and of adjustment for multiple comparisons may have influenced the assessment of differences. However, the conversational sample sizes were adequate and could have partially compensated for this limitation, as can be noted in the effect sizes. Different settings in which the speech samples were taken and the very different age ranges may have affected the results. The focus on group means\u2019 differences and similarities rather than individual differences is also a source of limitations. Stojanovik et al. found stAdult participants with FXS and WS in the present study showed violations of all the maxims of conversation to varying degrees, which may have an impact on their pragmatic skills. The profiles of cooperation resulting from the assessment of such pragmatic impairment using the PREP-CORP shared some characteristics, including reduced verbal production (maxim of quantity), repetitive dysfluencies (maxim of manner), and similar degree of violation of the maxim of quality. Syndrome-specific features were also observed: in the FXS profile, higher proportion of non-contingent language (maxim of relation) and perseveration of topic and form (maxims of relation and manner); in the WS profile, higher proportion of reformulation (maxim of manner). Conversational response showed increased levels of impulsivity, incomprehension, and echolalia in FXS. Thus, both profiles presented different degrees and forms of pragmatic impairment in the absence of a diagnosis of comorbid ASD, which raises the need for assessment and intervention methods that specifically address the social communication skills of adults with FXS and WS."}
+{"text": "The Research Centers in Minority Institutions, (RCMI) Program was established by Congress to address the health research and training needs of minority populations, by preparing future generations of scientists at these institutions, with a track record of producing minority scholars in medicine, science, and technology. The RCMI Consortium consists of the RCMI Specialized Centers and a Coordinating Center (CC). The RCMI-CC leverages the scientific expertise, technologies, and innovations of RCMI Centers to accelerate the delivery of solutions to address health disparities in communities that are most impacted. There is increasing recognition that the gap in representation of racial/ethnic groups and women is perpetuated by institutional cultures lacking inclusion and equity. The objective of this work is to provide a framework for inclusive excellence by developing a systematic evaluation process with common data elements that can track the inter-linked goals of workforce diversity and health equity. At its core, the RCMI Program embodies the trinity of diversity, equity, and inclusion. We propose a realist evaluation framework and a logic model that integrates the institutional context to develop common data metrics for inclusive excellence. The RCMI-CC will collaborate with NIH-funded institutions and research consortia to disseminate and scale this model. The National Academies report, titled \u201cRising Above the Gathering Storm: Energizing and Employing America for a Brighter Economic Future\u201d, noted that, in order for the United States (U.S.) to maintain global leadership and competitiveness in science and technology, it must: 1) invest in research; 2) encourage innovation; and 3) grow a strong, talented, and innovative science and technology workforce [ invest i encourag grow a sThis paper provides evidence of the impact of the National Institutes of Health (NIH) investments in the Research Centers in Minority Institutions (RCMI) Program, and, the premise that the RCMI Coordinating Center (RCMI-CC) is well positioned to evaluate, disseminate and scale NIH\u2019s Diversity, Equity and Inclusion (DEI) initiatives.The NIH has long recognized that achieving diversity in the biomedical and behavioral research workforce is critical to ensuring that the best and brightest minds have the opportunity to contribute to the achievement of our national research goals. The RCMI Program was established in 1985 in response to committee report language (House Report 98-911) attached to H.R. 6028, the Departments of Labor, Health and Human Services, and Education and Related Agencies Appropriation Act, 1985, to \u201cestablish research centers in those predominantly minority institutions which offer doctoral degrees in the health professions or the sciences related to health\u201d ,11. SubsThe Department of Health and Human Services (DHHS) action plan to reduce racial and ethnic health disparities and the Despite long-standing efforts by the NIH and other entities across the biomedical and behavioral research landscape to increase the number of scientists from underrepresented groups ,16, GintThe COVID-19 pandemic added to the urgency, by uncovering glaring health inequities and the devastation of structural racism on the health of African Americans, Latinx, Native Americans, Native Hawaiians, and Pacific Islanders .At its core, the RCMI Consortium embodies the trinity of diversity, equity, and inclusion (DEI). The central role of the RCMI Consortium in addressing the NIH-linked objectives of workforce diversity and health equity was highlighted in three keynote presentations delivered at the RCMI Translational Science 2017 Conference in Washington, DC. During the opening plenary keynote, NIH Director Dr. Francis S. Collins, recognized the RCMI community as the brain trust to help develop novel solutions on health disparities . During An analysis of 18 RCMI Centers with active awards between 2002 and 2015 documented RCMI impact, as published in our seminal paper, titled: The Research Centers in Minority Institutions (RCMI) Translational Research Network: Building and Sustaining Capacity for Multi-Site Basic Biomedical, Clinical and Behavioral Research . This puSimilarly, RCMI Clinical Research Centers (CRCs) at Charles R. Drew University, Howard University, Meharry Medical College, Morehouse School of Medicine, University of Hawaii at Manoa, and University of Puerto Rico Medical Sciences Campus collectively enrolled over 16,000 diverse research participants between 2008 and 2016. There was broad representation across health disparity populations, including three quarters women; almost half were Black or African Americans; one third were Hispanics. Native Hawaiians, Whites, Asians, and Native American/Alaska Native were also represented in these clinical research studies. These clinical research centers also supported the training and career development of over 600 new clinical and translational research scholars over the same time period ,24,25. TThis manuscript will describe how the RCMI Consortium will build on its track record by developing and implementing consortium wide data collection processes and evaluation framework that will serve as a best practice for NIH DEI initiatives.The overarching purpose of this work was to understand how a context-based evaluation framework can serve as a blueprint for establishing data standards and common metrics for inclusive excellence (IE). We explored how the centralized data model of the RCMI Consortium can support the evaluation of the RCMI U54 Centers, and ultimately to disseminate and scale the RCMI DEI model.We hypothesized that the RCMI Consortium of institutions and the communities they serve provide a context-based and health equity-centered lens for a realist evaluation (RE) framework of IE.Rationale: Despite the urgent need for diversity in NIH-funded institutions, data confirm that institutional cultures lacking the necessary elements of inclusion and equity consistently send the message that certain groups do not belong in science ,27,28,29The theoretical framework of the RCMI Consortium is the Community of Practice and Stakeholder Engagement model ,33, whicThe RCMI-CC goals include evaluating the RCMI U54 Centers and the RCMI Consortium. The RCMI-CC integrates the Community of Practice and Stakeholder engagement in its needs assessment as described in the methods section. Given the diversity of research resources across the RCMI Consortium institutions, we propose the realist evaluation (RE) framework ,35,36, wThe Community of Practice Stakeholder-Engagement Framework ,46 is a Current NIH diversity programs lack the evidence for a standardized DEI evaluation framework . This prWith funding support, the RCMI-CC will collaborate with NIH-funded research networks, such as the Clinical and Translational Science Award (CTSA) and Institutional Development Award (IDeA) consortia, to disseminate and scale the adoption of the RCMI DEI model across various institutional contexts, from research-intensive to resource-limited settings ,38,39,40We have implemented a centralized RCMI database for baseline and longitudinal RCMI investigators data collection. We are also integrating the open-source central data repository, Dataverse , to sharThe needs assessment was conducted between 18 September and 11 December 2019, and designed to define the priorities, and identify resource gaps, for each RCMI U54 Center. Each U54 Center identified areas of expertise, and opportunities to strengthen its Center\u2019s capacity for inter-institutional research collaboration, by prioritizing access to the following resources: research studio/investigator development; biostatistics expertise; bioinformatics expertise; community engagement expertise; human subjects recruitment expertise; letters of support; finding collaborators ; technology transfer; institutional review board; samples/biorepository/laboratory methods; industry clinical trials; NIH multi-site studies; collaborative pilot project funding; RCMI Program National Conference; minority health and health disparities research training; national research mentoring network resource.The organization of the RCMI Consortium, its stakeholders, and governance are shown in For example, the Administrative Core Consortium includes the RCMI-CC Contact PI Steering Committee Chair and all the U54 Centers principal investigators/program directors. The Evaluation Consortium resides within the Administrative Core of each RCMI U54 Center and the RCMI-CC. The Community Engagement Core Consortium, Investigator Development Core Consortium, and Research Infrastructure Core Consortium are similarly configured to include the directors from the respective cores and the RCMI-CC MPIs.The objective of the stakeholder engagement was to: (1) develop a theory-based evaluation protocol, agree on common metrics, and standardize data collection process; (2) engage RCMI Centers directors in a continuous process improvement and sharing of best practices on investigator development, community engagement, resource sharing, and collaborations, relevant to their respective U54 Center goals and scientific activities; (3) agree on a process to monitor and share outcomes annually. We conducted two full days of Consortium-wide research retreat and strategy sessions followed by breakout sessions. The strategy and breakout sessions were followed by full day workshops for the respective Consortium Core leaders. The workshops were conducted during the RCMI Annual Scientific Conference, with full participation of all 21 active U54 Centers. Each Core Consortium provided direct input to the RE logic model being developed by the Tracking and Evaluation Consortium.We used a modified Delphi method , where tGiven that evaluation, common metrics, and data standardization are goals of this work, we referenced evaluation programs, as well as lessons learned from the CTSA program ,51,52,53To maximize the potential for improved inter-institutional engagement and collaboration, the RCMI-CC established a centralized database to support research collaboration and data collection across the RCMI Consortium. The searchable database can be used for finding investigators, and groups with specific areas of expertise, as well as search publications ,38,39. TCapitalizing on a centralized research-centric system to track productivity is essential to streamline the process for tracking research productivity and inter-institutional collaborations, especially when working with large research networks such as the RCMI Consortium. Using the centralized database as a systematic approach to track productivity at various levels yields consistent, objective, and standardized results across all the RCMI U54 Centers. Two of the most used key performance indicators (KPI) to assess scientific productivity are the number of publications and the number of awarded grants, both of which are routinely (quarterly) captured by the RCMI-CC centralized database. By harnessing the power and capabilities of the underlying relational database management system (RDBMS) of the centralized database, the RCMI-CC will be able to produce a quantitative representation of research activities (publications and grants) over time, at the individual (researcher) level as well as at the institution and consortium levels. In addition to the number of corresponding publications/awards, the centralized database captures other data elements such as: (1) How relevant the concepts of publications to the overall topic? (2) How long ago the publications were written? (3) Was the person the first or senior author, and how many other people have written about the same topic? The data can also identify shifts in research focus over time or reveal gaps in research productivity. The centralized database provides visualizations and timelines that show the dates of publications, top concepts, and concept clouds to emphasize keywords that make a person\u2019s research unique, illustrating changes in the primary topics over time. Other visualizations display cluster and radial graphs of authors, co-authors, and co-authors of co-authors. The graphs illustrate the proportional number of a person\u2019s publications and a proportional number of publications that they share with co-authors.In addition to the centralized database, we are also implementing an open-source central data repository, Dataverse , to sharThe 21 RCMI grantee institutions are located across 12 States, the District of Columbia, and Puerto Rico . Each RCThe results of the needs assessment showed that all (100%) RCMI U54 Centers prioritized community engagement expertise. Other prioritized resources were: 94% letters of support; 89% pilot project funds; 83% access to biostatistics expertise; bioinformatics expertise and finding collaborators for multi-PI research funding opportunities and publications; 78% investigator development research studios, NRMN resources, RCMI Annual Conference, and health disparities training; 72% technology transfer and innovation; 67% human subjects resource/institutional review board. These results bolster the DEI focus of the RCMI Evaluation framework and will be prioritized for common data elements in the logic model. The priorities identified in the needs assessment are included as data elements in the research resources and knowledge resources, which are inputs for the RE logic model. The needs assessment also show that RCMI Consortium members are interested in collaborations with RCMI and non-RCMI investigators. The dissemination and implementation of the RCMI DEI evaluation framework will benefit from this robust collaboration capacity. The fostering of collaboration among young and early investigators, seasoned investigation internal and external to each U54 RCMI, and bi-directional relationship between academic and community partners underscore the RCMI Program\u2019s commitment to inclusion and community focused priorities that impact health outcomes.The centralized database includes existing active, and newly registered investigators. The newly registered investigators were on-boarded between January through 22 April 2021. This sample is from scientific abstracts accepted for presentation at the 2021 RCMI Annual Conference. Our group published the paper titled \u201cUsing a Virtual Community to Support Early-Stage Investigators Pursuing Grant Funding\u201d . This woThe RE logic model\u2019s inputs, activities, outputs, outcomes, community and health equity impact will track the four pillars that drive sustainable interventions see 34,35,3,335,36. Influence of the external environment including at the agency, state, region, or national policies may be standardized where feasible for purposes of comparative analysis.In this article, we present the design and RE logic model for a context-based evaluation framework of IE, by developing a systematic process with common data elements that align with the inter-linked goals of workforce diversity and health equity. We demonstrate that the mission, goals, and track record of the RCMI Program positions it to develop and standardize common data elements relevant to IE. The RCMI-CC centralized database and Dataverse open-source data-sharing model support collaboration capacity, and support users to disseminate and scale the model. The RE places our study in the larger context of NIH DEI initiatives. The logic model, common data elements, and data standardization will serve as a blueprint for adapting the model to diverse NIH-funded institutions, from research intensive to resource limited settings. The NRMN use case demonstrates the capacity of the RCMI Consortium to support national initiatives on DEI. The RCMI-CC governance and evaluation objectives support future collaboration that can disseminate and scale the RE model. By developing baseline common data elements that can apply across institutions, as well as investing in the Dataverse platform for secure and privacy protected data sharing, the RCMI-CC is establishing a RE grounded logic model for transparent and comparative evaluation of IE at RCMI Centers as well as across NIH funded institutions, regardless of the institution size, resources, public, or privately funded. The RE logic model and common data elements serve to establish a transparent and accountable process to collect and refine baseline data that will support DEI and IE processes and outcomes.This work aligns with the commitment and statement of NIH Director Collins, who declared, on 1 March 2021, that NIH stands against structural racism in biomedical research: \u201cto those individuals in the biomedical research enterprise who have endured disadvantages due to structural racism, I am truly sorry. NIH is committed to instituting new ways to support diversity, equity and inclusion, and identifying and dismantling any policies and practices at our own agency that may harm our workforce and science\u201d. Adding action to words, he announced a new NIH initiative called UNITE, unveiled a website on Ending Structural Racism , and issThe evaluation framework and common metrics represent the first step in the RCMI DEI blueprint for IE. A next step is to complete the implementation of the model in coordination with RCMI U54 Centers. The next step will include establishing benchmarks for publication and research excellence outcomes, that incorporates the RE logic model resource inputs. Our goal is to standardize outputs, based on the baseline data that will populate the RE logic model (anticipated completion in 2022). We will publish this work, to support dissemination and scaling in collaboration with NIH research consortia, including CTSA, NRMN/DPC, and IDeA programs. In addition, we are exploring innovative data collection and analysis methods by leveraging the EQ collaboratory , to engaThis work confirms our hypothesis that the RCMI Consortium context-based and health equity-centered evaluation of IE can serve as a blueprint for NIH DEI initiatives. As the NIH embarks on efforts to address structural and systemic racism, DEI initiatives should prioritize context-based evaluation and common data elements that transparently track and publicize individual, institution, as well as system level outcomes. The RCMI Consortium welcomes a bidirectional outreach and collaboration with NIH-funded institutions and research consortia, as we seek to collectively engage and support the best and the brightest underrepresented investigators in biomedical research."}
+{"text": "The number of older adults who live in long-term care (LTC) is expected to increase worldwide. The COVID-19 pandemic has caused serious consequences in Canadian LTC homes, while homes in China and Japan reported minimal infection and death rates in residents. The differences in LTC policies may be one of the contributors. The purpose of this literature review was to identify elements of the LTC policies that might have impacted COVID-19 outcomes in LTC homes in Canada, China, and Japan. A scoping review was conducted following the framework proposed by Arksey and O\u2019Malley. Scholarly articles and grey literature published between January 2015 and June 2020 were identified in six databases, four in English , one in Chinese (CNKI), and one in Japanese (CiNii), using MeSH terms for LTC and health policy. Grey literature was identified using Google. Data were extracted, summarized and common themes identified through content analysis. A total of 52 articles and 26 grey sources were included in the review based on determined inclusion criteria. They were research articles, reviews, government or association reports, policy briefs, policy documents, and guides. Four common themes of challenges emerged: caregiver workforce, service provision, funding, and physical environments. Three sub-themes were identified for caregiver workforce and service provision. Differences in COVID-19 consequences in LTC homes in the three countries seem to be related mainly to the challenges with the caregiver workforce and the lack of funding. The result suggests Improvements of LTC policies are required, especially in Canada."}
+{"text": "In addition to cancer-related death, malignant progression also leads to a series of symptoms and side-effects, which would detrimentally affect cancer patients' the quality of life, adversely influence their adherence to treatments, and, therefore, negatively affect their long-term survival. Acupuncture and electroacupuncture (EA), as two classic treatment methods in traditional Chinese medicine, have been widely employed to cure various diseases. Recently, the clinical application of acupuncture and EA in cancer patients has received great attention. In this review, we summarized the clinical application of acupuncture and EA in alleviating the cancer symptoms, reducing the cancer treatment-related side-effects, and relieving the cancer pain. The symptoms and side-effects discussed in this review include fatigue, insomnia, chemotherapy-associated dyspepsia syndrome (CADS), pain, xerostomia, and anxiety and depression. The underlying mechanisms of the therapeutic effects of acupuncture and EA might be related to the regulation of the mitochondrial function, coordination of the activity of the nervous system, adjustment of the production of neurotransmitters, and alleviation of the immune responses. In conclusion, acupuncture and EA have been proved to be beneficial for cancer patients. More research, however, is required to clarify the potential mechanisms behind acupuncture and EA for widespread adoption in clinical application. Carcinoma is the leading cause of global morbidity and mortality, so cancer prevention and treatment have become the key research topic in the medical field. In addition to death, the progression of cancer is also accompanied by a series of symptoms and side-effects that is caused by not only cancer itself but also cancer-related therapies, such as surgery, chemotherapy, radiotherapy, etc. These symptoms and side-effects will severely impact the life quality and treatment adherence of cancer patients, and, therefore, adversely affect their long-term survival. Recently, complementary and alternative medicine (CAM), including acupuncture, deep breathing exercises, massage therapy, meditation, naturopathy, and yoga, has been increasingly adopted by cancer patients for seeking relief from cancer-associated symptoms Acupuncture has been defined as the insertion of fine needles into specific acupuncture points (acupoints) in the human body. In Eastern Asia, acupuncture has been widely employed to treat various diseases for over 2,500 years. Notably, the benefits of acupuncture in treating various diseases have been gradually recognized by Western society. For example, the World Health Organization (WHO) and the National Institutes of Health (NIH) released a report on acupuncture in 2003, suggesting more than 100 types of diseases and conditions could be treated by acupuncture Electroacupuncture (EA) is developed around the mid-1900s and is a modified approach of acupuncture that applying weak electronic currents through the needles after conventional acupuncture procedure. Although it is still controversial, EA has been shown to achieve similar or even better effects compared to acupuncture. Moreover, the efficacy of acupuncture mainly depends on the manipulation technique of the acupuncturist, but EA can be practiced more reproducibly and is more suitable for both basic and clinical research. In this review, we introduced the effects of acupuncture and EA on cancer-related symptoms and side-effects, the possible mechanisms behind acupuncture, and the hindrance against the wide application of acupuncture and EA in cancer-related treatment.Cancer and cancer treatments are frequently associated with a lot of symptoms and side-effects including fatigue, insomnia, chemotherapy-associated dyspepsia syndrome (CADS), radiation-induced xerostomia (RIX), pain, vomit and nausea, cognitive impairment, distress, anxiety, depression, etc. Because some of those symptoms and side-effects are tightly related, we mainly discussed the therapeutic potential of acupuncture and EA in some of those symptoms and side-effects in this review.Cancer-related fatigue (CRF) has been recognized as one of the most common cancer-related side-effects The effective treatment options for CRF are limited, consisting of non-pharmacologic interventions like physical activity and psychosocial and mind-body interventions. However, a recent clinical trial, including 302 breast cancer outpatients, showed that acupuncture could significantly relieve CRF Insomnia, also called sleeplessness, is recognized as the most prevalent sleep problem worldwide. The reported prevalence of insomnia in cancer patients is up to 50%, which is three times higher than that in the general population Chemotherapy is routinely employed in combination with radiotherapy, surgery, hormone therapy, or immunotherapy for treating many types of cancers. Despite the effectiveness in reducing tumor burden, chemotherapy also unavoidably raises many irreparable side-effects, such as chemotherapy-associated dyspepsia syndrome (CADS). CADS is defined as a collection of gastrointestinal symptoms after receiving chemotherapy, including early satiety, anorexia, diarrhea, nausea, and vomiting Acupuncture has been commonly employed in China to treat gastrointestinal symptoms for thousands of years and the possible mechanisms behind might be through the altering acid secretion, GI motility, and visceral pain Pain is the most common symptom of cancer and is reported in 90% of cancer patients at various progression stages Acupuncture and EA have been widely employed to relieve non-malignant acute and chronic pain Salivary glands are significantly sensitive to radiation therapy and will be irreversibly damaged at doses higher than 50 Gy Anxiety and depression are common complications of cancer, influencing cancer patients' quality of life, their adherence to treatment, and their survival Although many efforts have been made to understand the effects of acupuncture and EA in the treatment of cancer-related symptoms and side-effects, the mechanisms by which acupuncture and EA achieve therapeutic benefits remain largely unknown. The main focus has been on investigating the mechanisms of the analgesic effects of acupuncture and EA. In the early 1970s, Han's group, for the first time, strongly suggested the involvement of central chemical mediators in the analgesic effect by acupuncture. They transferred the cerebrospinal fluid of acupunctured donor rabbits into recipient rabbits and achieved analgesic effects in recipients The studies on mechanisms of acupuncture and EA for treating other cancer-related symptoms and side-effects are limited. A previous study has shown that EA can improve chronic fatigue by reducing mitochondrial oxidative stress and increasing ATP synthesis Table 1). We also simply introduced the potential mechanisms involved in the therapeutic effects of acupuncture and EA (Table 2). Given that the actual mechanisms of acupuncture and EA remain largely unknown, more basic and clinical studies are needed to endorse the broad clinical application of acupuncture and EA in the treatment of cancer-related symptoms and side-effects.This review summarized the application of acupuncture and EA in cancer patients for improving cancer-related symptoms and side-effects, such as fatigue, insomnia, chemotherapy-associated dyspepsia syndrome (CADS), radiation-induced xerostomia (RIX), anxiety and depression, and pain ("}
+{"text": "Cochrane Cameroon is the fourth geographical group of Cochrane in sub-Saharan Africa, following Cochrane South Africa (1997), Cochrane Nigeria (2006) and Cochrane Kenya (2021). All are part of the Cochrane Africa Network, formally established in 2017. Cochrane Cameroon is based in the Centre for Development of Best Practices in Health, at the Yaound\u00e9 Central Hospital in Cameroon, and is the base of the Francophone hub of Cochrane Africa [June 30Cochrane is a not-for-profit international network aiming to have evidence at the heart of health decision-making world-wide. Cochrane does not accept commercial or conflicted funding which is vital for generating authoritative and reliable information, unconstrained by commercial and financial interests. Cochrane Cameroon responds to the needs to expand evidence-based decision-making and Cochrane activities to French speaking Africa and to aIn collaboration with Cochrane Africa, Cochrane Cameroon will continue to support the production of high-quality systematic reviews, make relevant Cochrane evidence accessible (through translation of plain language summaries and evidence assessments), advocating for evidence (by raising awareness and stakeholder engagement) and contributing to the sustainability of the network (by supporting mentors and mentees). In recognition of the need to enhance health equity by involving stakeholders and end-users in priority setting , CochranConclusion: this letter is an open invitation to researchers, health care providers, journalists, policymakers, and consumers in the region to visit our website and engage meaningfully in the production and use of high-quality locally relevant and accessible health evidence."}
+{"text": "The growing number of survivors of childhood cancer, with many years of life ahead, demonstrates the increasing clinical and public health relevance of investigating the risks of social and socioeconomic impairment after a childhood cancer diagnosis and the life-saving treatment. To enrich understanding of the mental, social and socioeconomic difficulties that childhood cancer survivors may face during their life-course, identify particularly vulnerable survivors and overcome the limitations of previous research, we initiated the Socioeconomic Consequences in Adult Life after Childhood Cancer in Scandinavia (SALiCCS) research programme.This Nordic cross-border research programme is a collaboration between the Danish Cancer Society, the Finnish Cancer Registry and Karolinska Institutet to investigate a broad range of mental, social and socioeconomic conditions in long-term childhood cancer survivors in Denmark, Finland and Sweden. SALiCCS is based on a registry-based matched cohort design, comprising five-year survivors of cancer diagnosed at ages 0\u201319 years , age-, sex- and country-matched population comparisons and sibling comparisons who were followed over time. Outcomes of interest included mental disorders, educational achievements, employment and profession, family life and the need of social security benefits. Individual-level data linkage among various national registries provided the data for the research programme.The SALiCCS core population comprises 21,292 five-year survivors, 103,303 population comparisons and 29,644 siblings as a second comparison group. The most common diagnoses in survivors were central nervous system tumours, leukaemias and lymphomas.SALiCCS is the largest, most comprehensive population-based research initiative in this field, based on high-quality registry data with minimal risk of bias. The findings will be informative for evidence-based survivorship care targeting not only somatic late effects but also psychosocial impairments. Childhood cancer is of increasing public health concern, as approximately 35,000 new cases are diagnosed yearly in children and adolescents in Europe, and about 500,000 European Union citizens are childhood cancer survivors, with complex needs for medical and psycho-social care . AlthougThe experience of cancer during childhood and adverse somatic or mental health conditions may also have consequences for social and family life and for socioeconomic achievement later in life. Previous research has shown that childhood cancer survivors are at increased risk of several adverse socioeconomic and social outcomes, including scholastic difficulties, such as requiring special education or attending learning disability programmes, lower levels of attained education and lower income than their peers . There aThe current evidence is limited by methodological shortcomings. Most previous research is based on self-reported information from surveys and are thereby susceptible to non-participation, which might have affected the outcomes. Further, many studies included survivors of only one or a few specific childhood cancer types, did not involve repeated measurements of social and socioeconomic outcomes throughout the life-course or suffered from substantial loss to follow-up. Further limitations of previous studies include insufficient sample size of survivors and short follow-up. The mechanisms that lead to adverse social and socioeconomic conditions, especially in vulnerable subgroups of survivors, are still poorly understood , 26, andThe Socioeconomic Consequences in Adult Life after Childhood Cancer in Scandinavia (SALiCCS) research programme was initiated to address these gaps and enrich understanding of the impairments and social and socioeconomic difficulties that survivors of childhood cancer may face during their life-course. This Nordic research programme is a collaboration among the Danish Cancer Society Research Center, the Finnish Cancer Registry and Karolinska Institutet in Sweden.In 2020, Denmark, Finland and Sweden had populations of 5.8, 5.5 and 10.3 million, respectively . The NorThe welfare systems of the three countries are largely comparable. Citizens are entitled to an education free of charge, from primary schooling, which is compulsory, to advanced tertiary educational levels . AdditioIn general, all citizens of the Nordic countries have equal access to government-subsidized primary health care services provided by general practitioners and specialised health care in hospitals or provided by specialist physicians. Out-of-pocket expenses and reimbursement schemes vary, however, in the three countries \u201338. The As childhood cancers are a heterogeneous group consisting of very different diseases, survival and developments in survival over time differ widely by cancer type . Since tCurrent therapy for some malignancies is highly intensive, and, while survival has gradually increased, the risk of treatment-related acute toxicity and late effects may also be increasing. The aim of many current protocols is to identify subgroups of patients for whom the intensity of therapy can be reduced to decrease toxicity.Collaborative clinical trials to standardise childhood leukaemia treatment protocols in all Nordic countries began in 1981 , 40, 43,The SALiCCS research programme is a Nordic register-based cohort study of social and socioeconomic consequences in long-term survivors of childhood cancer in Denmark, Finland and Sweden. SALiCCS is based on the Nordic research programme Adult Life after Childhood Cancer in Scandinavia (ALiCCS), which investigates late effects of cancer therapy in children to better understand the risk and mechanisms of treatment-induced somatic disease . Data frThe main objectives of the SALiCCS research programme are:to ascertain hospital contacts for mental disorders in childhood cancer survivors;to examine how survivors of childhood cancer transition from childhood to adulthood by determining the following social and socioeconomic conditions and attainments: scholastic achievements, attained educational level and educational delays, income, employment, occupational position and professional attainment, leaving the parental household to live independently, cohabitation with a partner, getting married and founding a family; andto assess the socioeconomic burden of childhood cancer and treatment on survivors by determining the uptake of social security benefits, such as unemployment benefits, social assistance, sickness allowance, disability pension and rehabilitation benefits.The SALiCCS research programme is based on a registry-based matched cohort design. Denmark, Finland and Sweden have civil registration systems with numerous national administrative registries \u201347 that The infrastructure of the population-based registers in the Nordic countries, with longstanding, high-quality, comprehensive health, socio-demographic and socioeconomic data, are an ideal, unique basis for large-scale epidemiological studies of childhood cancer survivorship. None of the Nordic countries, however, has a sufficiently large population to provide adequate statistical power for a detailed assessment of social and socioeconomic outcomes in childhood cancer survivors in a life-course perspective, particularly not for determining the underlying mechanisms of adverse social and socioeconomic outcomes and identifying particularly vulnerable groups of survivors. Combination of data from several Nordic countries is required for such purposes. As the Nordic countries have longstanding, largely standardised diagnostic and treatment procedures and similar welfare systems, it was considered reasonable to combine data on childhood cancer survivors across Nordic countries.The SALiCCS core population comprises all five-year survivors of a first childhood cancer diagnosed at ages 0\u201319 years in Denmark (1971\u20132008), Finland (1971\u20132009) and Sweden (1971\u20132011) .The cancer diagnoses were classified according to the International Classification of Childhood Cancer, in which tumours are classified into 12 major diagnostic groups and detailed subgroups according to the nomenclature of the International Classification of Diseases \u2013 Oncology \u201369.We established two independent comparison groups. We randomly sampled five population-based comparisons per survivor from the populations of Denmark, Finland and Sweden from the national population registries. Survivors and population comparisons were individually matched by year of birth, sex and country of residence for somatic and mental disorders and the respective discharge diagnoses. We obtained information on prescribed drugs from the nationwide prescribed drug registries, whereby prescription data from Finland was limited to contraceptive medications, antidepressants, pain killers, and psychiatric drugs.Apart from diagnostic data from the national cancer registries, clinical and treatment information was overall sparse. The Finnish Cancer Registry included limited and non-validated treatment information on surgery, radiotherapy and chemotherapy (with incomplete coverage). The treatment information is given on binary level for curative, palliative or unknown intention . For DenWe collected basic socio-demographic and socioeconomic information for the biological and adoptive parents of the childhood cancer survivors, the population comparisons, and the sibling comparisons. Furthermore, to account for the increasing number of reconstituted families in the Nordic countries, we also defined the \u201csocial parents\u201d for the Danish and Swedish SALiCCS populations, for whom we collected the same socioeconomic and socio-demographic information as for biological parents. In Denmark, social parents were defined as individuals living at the same address with the index person the year before the reference year, at least 16 years older and not a full or half sibling of the index person. In Sweden, social parents were defined as individuals registered by Statistics Sweden as a parent or guardian in the same household in which the index person was defined, the year before the reference date. Social parents could be identified from 1980 onwards in Denmark and from 1990 onwards in Sweden. Corresponding information was not collected for the Finnish SALiCCS population. The SALiCCS research programme has been approved by Statistics Denmark, the Regional Ethical Review Board in Stockholm, Sweden , Findata (Dnro THL/5543/14.06.00/2020) prolonging the former approvals by the National Institute for Health and Welfare and Social Insurance (KELA) and Statistics Finland (TK-53-394-17) in Finland. For the European Union General Data Protection Regulation (GDPR), the SALiCCS project is listed in a local archive (2018-DCRC-0044) at the Danish Cancer Society Research Center, which provides an accurate, updated overview of ongoing projects and of ongoing research projects involving personal data under the GDPR. The 2018-DCRC-0044 replaces the former notification from the Danish Data Protection Agency.The SALiCCS research programme is conducted in compliance with the requirements of the GDPR and other applicable laws in the respective countries, as well as the respective procedures at Statistics Denmark, the Danish Cancer Society Research Center, Karolinska Institutet and the Finnish Cancer Registry. All data have been stored, linked and pooled and are analysed at a secure remote platform at Statistics Denmark, with controlled remote access only for individually approved SALiCCS project members. Personal identification numbers were replaced by pseudonymised ID numbers, and the key code is kept only by the original register holders or at the respective statistical institutes. All the results of the statistical analyses will only be presented as aggregated data.The core SALiCCS population comprises 21,292 five-year survivors, 103,303 population comparisons and 29,644 siblings as the second comparison group. The distribution of diagnostic characteristics differed only slightly in Denmark, Finland and Sweden Table\u00a02.The SALiCCS core population is defined by individuals who survived the five-year survival point. To describe this population, the survival probabilities of all children diagnosed with cancer in Denmark, Finland and Sweden, their population comparisons and siblings are shown in This SALiCCS core population will serve as the basis for individual studies of the objectives of the SALiCCS research programme, as outlined in section 1.3. Additional inclusion and exclusion criteria may be applied to the core population in individual SALiCCS studies, which may be restricted to specific time periods, depending on the respective research objectives and register coverage.The growing number of survivors of childhood cancers diagnosed at a young age, with many years of life ahead, indicates the increasing clinical and public health relevance of investigating the long-term social and socioeconomic consequences of the cancer diagnosis and the life-saving treatment. Some previous evidence points to higher risks of impaired social functioning and adverse socioeconomic outcomes in adult life. Nevertheless, additional research is urgently required to fully understand the long-term social consequences of a diagnosis of cancer in childhood, to identify vulnerable survivors at particular risk for adverse social and socioeconomic impairments in adulthood and ultimately to provide scientific knowledge for evidenced-based survivorship care that addresses not only somatic late effects but also psychosocial impairments.Data linkage among various population-based registries in Denmark, Finland and Sweden gave us the unique possibility of setting up the largest, most comprehensive population-based research initiative on the social and socioeconomic consequences of childhood cancer so far, comprising more than 21,000 five-year childhood cancer survivors and two independent comparison groups. The large number of survivors will enable detailed analyses, allowing for identification of vulnerable subgroups in terms of e.g. diagnostic or socio-demographic characteristics. Use of high-quality population-based register data with high coverage, virtually no loss to follow-up and no self-reporting or non-participation allows reliable estimation of the social and socioeconomic outcomes with minimal risk of bias in countries with similar welfare systems and generally equal access to education and other services. Particularly valuable strengths of the SALiCCS research programme include annual information on social and socioeconomic outcomes, facilitating the study of trajectories and enabling a comprehensive long-term follow-up, as well as the availability of detailed information on hospital contacts, allowing stratified analyses by somatic or mental late effects. A limitation of the SALiCCS research programme is the lack of comprehensive and three-countrywide information on cancer treatment and other relevant clinical characteristics such as subtype of disease and tumour stage or grade. Such information would have been of considerable value for assessing the underlying mechanisms leading to adverse social and socioeconomic conditions, and to identify survivors of childhood cancer that are particularly vulnerable to adverse outcomes. For instance, especially cranial radiation therapy has been associated with various somatic late effects, including long-term neurocognitive impairment, as well as with adverse educational attainments, higher risk of unemployment and low income . UnderstThe novel findings resulting from this research programme may serve as a basis for recommendations on interventions for vulnerable subgroups of survivors. Such recommendations may not be limited to the Nordic countries, with their extensive welfare systems, but may also be applicable to other countries, especially within Europe.jeanette@cancer.dk), the Principal Investigator of the SALiCCS research programme, for further questions about data access.The data that support the information of this article were accessed remotely on a secure platform at Statistics Denmark. Pseudonymised individual-level data were obtained from national registry holders after ethical approval (where applicable) and secrecy assessment. According to Danish, Finnish and Swedish laws and regulations, individual-level sensitive data can only be made available for researchers who fulfil legal requirements for access to personal sensitive data. Please contact Jeanette Falck Winther , Findata (Dnro THL/5543/14.06.00/2020) prolonging the former approvals by the National Institute for Health and Welfare and Social Insurance (KELA) and Statistics Finland (TK-53-394-17) in Finland. For the European Union General Data Protection Regulation (GDPR), the SALiCCS project is listed in a local archive (2018-DCRC-0044) at the Danish Cancer Society Research Center, which provides an accurate, updated overview of ongoing projects and of ongoing research projects involving personal data under the GDPR. The 2018-DCRC-0044 replaces the former notification from the Danish Data Protection Agency.FE and JW developed the concept and outline of the manuscript. All authors contributed to the acquisition and preparation of data. FE, LF, HM, NM, L-MM-H, MF, and JW developed the strategy for the descriptive analysis and presentation of the study population. FE, LF, HM, and JW drafted the manuscript. All authors provided critical feedback, critically reviewed the manuscript for important intellectual content, and revised the manuscript. All authors approved the final manuscript as submitted and agreed to be accountable for all aspects of the work.This work was supported by NordForsk under grant 76111, the Danish Childhood Cancer Foundation under grant 2016-0293, Aarhus University under fellowship 43239402, the Swiss National Science Foundation under grant P2LUP3_175288 , the T\u00f8mrermester J\u00f8rgen Holm og Hustru Elisa F. Hansens Mindelegat under grant 20088 and the Swedish Childhood Cancer Foundation under grant PR2020-0130. The funding sources had no involvement in the content or preparation of the manuscript.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest.All claims expressed in this article are solely those of the authors and do not necessarily represent those of their affiliated organizations, or those of the publisher, the editors and the reviewers. Any product that may be evaluated in this article, or claim that may be made by its manufacturer, is not guaranteed or endorsed by the publisher."}
+{"text": "The invasive behavior of glioblastoma is considered highly relevant for recurrence. However, the invasion zone is difficult to visualize, typically lies outside the resected and irradiated area, and is protected by the blood brain barrier, posing a particular challenge for treatment. We present biological features of invasive growth accompanying tumor progression and invasion based on associated metabolic and transcriptomic changes in patient derived orthotopic xenografts (PDOX) and corresponding patients.1H-MR spectroscopy and imaging . Tissue obtained at surgery was transplanted orthotopically into immune-compromised mice. Longitudinal follow-up was performed by 1H-MRS/I (14.1T) on the injected and the contralateral side. The PDOX, the corresponding contralateral side, and the original human tumors underwent RNA-sequencing.Patients with suspected glioblastoma were enrolled (NCT02904525) and underwent 1H-MRS derived metabolite signatures, reflecting temporal changes of tumor development and invasion in PDOX, revealed high similarity to spatial metabolite signatures of combined multi-voxel analyses of the patients\u2019 tumors. Associations between the metabolite profiles and the combined transcriptome of the xenografts and the host, reflected molecular signatures of invasion, comprising extracellular matrix degradation and reorganization, growth factor binding, and vascular remodeling.The temporal changes of the metabolite profiles characterized the kinetics of invasive growth of PDOX, and were patient specific. Comparison of in vivo monitoring of progression in the non-enhancing tumor infiltration zone and provides insights into the remodeling of the extracellular matrix that is essential for cell-cell communication and regulation of cellular processes. The changes of the structural and biochemical properties of the extracellular matrix are of importance for the biological behavior of the tumors and may be subjected to therapeutic targeting.Integrating metabolic profiles and gene expression of highly invasive PDOX allows"}
+{"text": "Background: The social isolation of older people is a growing public health concern. The proportion of older people in society has increased in recent decades, and it is estimated that ~40% of the population will be aged 50 or above within the next few decades. This systematic review aims to summarize and renew knowledge of the effectiveness of existing interventions for alleviating social isolation of older adults.Methods: Relevant electronic databases, including Cochrane Library, CINAHL, SCOPUS, and Web of Science, were searched by a systematic evaluation method. Eligible randomized controlled trial (RCT) studies were published between 1978 and 2021 in English or Chinese. The primary and secondary outcomes were social isolation and loneliness. The quality of the included RCTs was scored by the Cochrane risk-of-bias tool to assess their quality. Two independent reviewers extracted data, using a standardized form. Narrative synthesis and vote-counting methods were used to summarize and interpret study data.Results: Twenty-four RCTs were finally included in this review. There was evidence of substantial heterogeneity in the interventions delivered. The overall quality of included studies indicated a low-to-medium risk of bias. Eighteen of 24 RCTs showed at least one dimension effect on reducing social isolation. The interventions with accurate targeting of clients in social and public places had more obvious effect. The interventions in which older people are active participants also appeared more likely to be effective. In addition, group intervention activities and individual intervention interviews were effective in improving structural social support; mixed intervention, and group intervention on training support significantly improved functional social support.Conclusions: This study suggests that group and mixed intervention targeting of older adults could be helpful for alleviating social isolation problems. The use of modern technology for remote services could also present good results. More well-conducted RCTs of the effectiveness of social interventions for alleviating social isolation are needed to improve the evidence base. Especially as the debating results of remote interventions, further research in this field should be conducted. Social isolation is a major threat to the health of older adults. There are many risk factors in social isolation in old age, including the lack of family members, rare or no daily communication with friends, depression, and a solitary lifestyle , CINAHL databases, SCOPUS, Web of science, China National Knowledge Infrastructure (CNKI), and Wanfang Data Knowledge Service Platform (WANGFANG). Another search retrieved social isolation and/or loneliness in the review and has been included in the study of the reference literature; retrieval from the University of Southern California Social Work Institute database, evidence-based medicine research center of Lanzhou University, and Population Research Institute of Southwestern University of Finance and Economics. Contacts were made with scholars within the network of the authors to obtain information about ongoing studies. Search words used were as follows: older/elder/senior/aged/geriatric, isolation/isolate/isolated, lone/loneliness/alone/solitude/solitary, social support/network/relations, psychosocial intervention, treatment/therapy, clinical trial, explanatory trial, pragmatic trial, and randomized controlled trial. Search terms used were as follows: (isolation/isolate/isolated) or or and (older/elder/senior/aged/geriatric) and or . The search terms in different databases were slightly different. Therefore, we also searched through the reference lists of systematic review articles on social isolation.According to the research topic and summary, two researchers (FT and CLY) made a preliminary identification of study criteria. The third researcher (FF) read the abstract of the indeterminate literature and determined the specific discussion about the disagreement. A pair of independent raters selected abstracts for full review based on inclusion/exclusion criteria. Two independent reviewers extracted data, using a standardized form. Due to the heterogeneity of different outcome indicators , meta-analysis is not suitable for use. According to the analysis method of the three previous evaluations older adults over 50 years of age with no mental illness or cognitive impairment; (ii) the purpose of the intervention was to alleviate social isolation or loneliness; (iii) the results of social isolation intervention were reported; (iv) there were randomized controlled trials but no drug trials; and (v) the paper was written in Chinese or English. Exclusion criteria for the study: (i) study samples aged younger than 50 years; (ii) not used a randomized controlled trial (RCT); (iii) drug intervention was used; and (iv) outcomes reporting only on loneliness but no social isolation.Because of the heterogeneity of the intervention types and results of the trial, quantitative analysis of data was not used in the review, so the method of narrative synthesis was applied to analyze the effect of interventions. In the quality evaluation of open randomized controlled trials, we chose not to use the Jadad standard Berger, as this About 746 items were found in the related research, with 452 duplicates removed, 268 of the studies excluded as they did not meet the selection criteria. Two studies were excluded because of high-bias risk. Twenty-four studies were eventually included .A total of 24 randomized controlled trial studies were included with a total of 4,078 subjects, each involving 26\u2013708 cases. Of all the studies, there were only two studies from mainland China : The Evidence Reorganization, Conversion, and Enlightenment Research of Evidence-based Social Work Intervention on Long-term Care of older adult.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest.All claims expressed in this article are solely those of the authors and do not necessarily represent those of their affiliated organizations, or those of the publisher, the editors and the reviewers. Any product that may be evaluated in this article, or claim that may be made by its manufacturer, is not guaranteed or endorsed by the publisher."}
+{"text": "Introduction: Melodic intonation therapy (MIT) is one of the most studied speech and language therapy (SLT) approaches for patients with non-fluent aphasia, although the methodological quality of the studies has been rated as low in previous reviews. The aim of this study is to update current evidence on the possible efficacy of MIT for the treatment of non-fluent post-stroke aphasia.Methods: A systematic review and meta-analysis. We selected randomized clinical trials (RCT) that included adult patients over 18 years of age with non-fluent post-stroke aphasia, whose intervention was MIT vs. no therapy or other therapy. We excluded non-RCT studies, mixed populations including patients with aphasia of non-stroke etiology, studies with no availability of post-stroke aphasia-specific data, and incomplete studies. Three sections of communicative ability were analyzed as outcomes: functional communication, expressive language (naming and repetition), and comprehension.Results: We identified a total of four eligible RCTs involving 94 patients. Despite the heterogeneity in the psychometric tests employed among the trials, a significant effect of MIT on functional communication was found . In addition, a positive effect of MIT on expressive language (repetition) was found . No significant effects on comprehension measurements were found, despite a lack of significant statistical heterogeneity.Conclusion: This systematic review and meta-analysis shows a significant effect of MIT on improving functional communication and on repetition tasks. Future larger RCT specifically addressing those outcomes should provide the definite evidence on the efficacy of MIT on post-stroke aphasia recovery.Systematic Review Registration:PROSPERO-URL https://www.crd.york.ac.uk/prospero/display_record.php?ID=CRD42020144604. Aphasia is a disorder that is the result of an injury to the brain areas that control the production and understanding of language as well as its components . Aphasia is common after stroke, with an estimated frequency of 30 and 34% for acute and rehabilitation settings, respectively . TherefoA Cochrane meta-analysis published in 2016 showed the effectiveness of SLT for post-stroke aphasia as compared to no therapy, in terms of better functional communication, reading, comprehension, writing, and expressive language . To dateMelodic intonation therapy is a widely used therapy in clinical practice, and therefore, it is necessary to understand whether there is evidence of its efficacy. MIT has been proposed mainly for patients with significant defects in language production, poor verbal agility, poor repetition of sentences, exaggerated prosodic pattern of sentences, and relatively preserved auditory comprehension \u20138. PatieThe mechanisms underlying the effects of MIT on aphasia recovery are not well-known, although it seems to stimulate brain plasticity by promoting the neuroplastic reorganization of language function, the activation of the mirror neuron systems, the utilization of shared features of music and language (such as pitch and rhythm) reflecting common or associated processing pathways, and improving the patient's motivation and mood . Indeed,A systematic review published 8 years ago reviewed the literature on the effect of musical elements in the treatment of patients with neurological language and speech disorders . The autOur aim is to update current evidence on the possible efficacy of MIT for the treatment of non-fluent post-stroke aphasia in adult patients on functional communication, expressive language, and comprehension.This systematic review and meta-analysis is reported according to the Preferred Reporting Items for Systematic reviews and Meta-Analyses (PRISMA) recommendations for systematic reviews and the Cochrane guidelines for systematic reviews , 20. TheOur PICO question to guide the systematic review was formulated as follows: in adult patients over 18 years of age with non-fluent aphasia due to ischemic stroke, does the MIT, as compared to no therapy or other therapy, improve functional communication, expressive language (naming and repetition), and comprehension?http://clinicaltrials.gov/), and Clinical trials results . We also performed a manual search of reference lists in other prior systematic reviews on the same topic as well as in guidelines to identify further potentially eligible studies.The following databases were searched: Cochrane Central register of Controlled Trials (CENTRAL), PUBMED, EMBASE, Clinical trials gov. . Duplicate records were deleted. Those separate reports from the same study were linked and evaluated as a single study. Studies analyzed in previously published systematic reviews were manually included when not obtained by the database search . Only puThe evaluation of study eligibility was performed by two authors (AHM and CPA) with the supervision of the review coordinator who identified all potentially relevant articles. After examining the titles and abstracts, clearly irrelevant reports were discarded and the full text of potentially relevant reports was reviewed.The following information was included in the data collection form: eligibility of the study and/or the reason for exclusion, study design, study duration, allocation and blinding process, possible sources of bias, total number of participants, study setting, diagnostic criteria, age, sex, relevant comorbidity, dates of the study, total number of intervention groups, specific interventions, outcome definitions, time-point of reported outcomes related to stroke onset, number of participants allocated to each study group, number of outcomes in each study group, missing data (lost to follow-up), summary data for each intervention group and outcome .For the analysis of the extracted data, we used the Review Manager 5 software .The quality of the included studies and the risk of bias of each study were evaluated following Cochrane Collaboration recommendations available in the Cochrane handbook of systematic reviews of interventions: sequenceUnder the coordination of the principal investigator, the entire team participated in this stage. Publication bias was assessed with the help of funnel plots. The results of the data analysis were imported into the GRADEpro Guideline Development Tool .Three areas of communicative ability were analyzed as outcomes: functional communication, expressive language (naming and repetition), and comprehension.The main outcome was improvement in language skills or in functional communication constructs as measured by a formal evaluation with validated tools including the Boston Diagnostic Aphasia Examination (BDAE) , the AacI2 test. Sensitivity analyses were performed for each diagnostic tool to better identify possible sources of heterogeneity.Collected data for each outcome were mean and standard deviation after the treatment period as well as the number of participants in the experimental and control groups. Standardized mean difference (SMD) was the summary statistic chosen, given that it allowed for the comparison of various psychometric scales. Data were analyzed on a random-effects basis. Results were summarized as standardized mean differences (SMD) and 95% confidence intervals (CIs), and the results from tests evaluating the same outcome were pooled in forest plots for a more comprehensive analysis of the global effect across studies. Heterogeneity across the studies was evaluated considering clinical reasoning and statistical measurements such as the chi-squared and the Finally, we used the GRADE approach to rate the quality of evidence, and we summarized the results in an evidence profile using the GRADE Pro tool.Our search for articles in the databases produced a total of 226 results. After removing duplicates, 88 articles remained. The abstracts of these articles were analyzed, and 40 potentially eligible studies remained. Of those 40 studies, six studies were selected for full-text evaluation. Two were excluded: one for being a topic review and the Van der Meulen et al. conducteVan der Meulen et al. also useHaro et al. was a raThe risk of bias assessments are summarized in This systematic review and meta-analysis, compared to the 2016 Cochrane review which included only one RCT on MIT involving 27 patients, providesResearch on post-stroke aphasia faces two main challenges that limit the internal validity of this study: (1) scarcity of published studies that meet the high standards of well-designed clinical trials, leading to a low number of included studies for the present meta-analysis; (2) heterogeneity in outcome measurements. In this meta-analysis, four randomized clinical trials were included and only two of them, conducted by the same research group, used the same endpoints. Due to the heterogeneity in the outcome measurements of the included studies, in those studies in which several outcomes were described, the most appropriate test for each of the outcomes considered in this review was chosen. Thus, for the functional communication outcome, the ANELT test was chosen over the Sabadel for the Van der Meulen et al. and Van Functional communication represents the ability to successfully communicate in daily interactions, which should be the main goal for patients with post-stroke aphasia to ensure their social reintegration. However, less than half of clinical trials on SLT have focused on functional communication . In receSLTs can be considered complex interventions per the definition of the Medical Research Council Framework for the Development and Evaluation of RCTs for Complex Interventions . Post-stThe main limitations we faced were the small sample sizes in those trials as well as the heterogeneity in outcome measurements that prevented a pooled analysis. Nevertheless, we were able to show an effect of MIT on the CAL measurements and in the repetition tasks. Despite the randomized design of all the included trials and the lack of high-risk of bias, none of the clinical trials were sufficiently powered to demonstrate the efficacy of MIT. Therefore, the quality of evidence is moderate.In conclusion, this systematic review provides updated evidence on the efficacy of MIT in improving functional communication and repetition in post-stroke non-fluent aphasia. Future larger RCT specifically addressing those outcomes should provide the definite evidence on the efficacy of MIT on post-stroke aphasia recovery.The raw data supporting the conclusions of this article will be made available by the authors, without undue reservation.AH-M and BF: conception of the work, acquisition, analysis and interpretation of data, draft of the manuscript, and approval of final version to be published. CP-A: acquisition, analysis and interpretation of data, draft of the manuscript, and approval of final version to be published. JS-C: analysis and interpretation of data, draft of the manuscript, and approval of final version to be published. ED-T: conception of the work, interpretation of data, and approval of final version to be published. All authors contributed to the article and approved the submitted version.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest.All claims expressed in this article are solely those of the authors and do not necessarily represent those of their affiliated organizations, or those of the publisher, the editors and the reviewers. Any product that may be evaluated in this article, or claim that may be made by its manufacturer, is not guaranteed or endorsed by the publisher."}
+{"text": "The Care Ecosystem (CareEco) model is a telephone-based dementia care program providing standardized, personalized and scalable support and education for caregivers and persons living with dementia (PLWD), medication guidance, and promotion of proactive decision-making. It has demonstrated improvement in quality of life for PLWD and reduced unnecessary healthcare expenditures. We initiated a pragmatic, embedded randomized pilot trial of an adapted CareEco model for nurses who provide high-risk care management and are embedded in primary care practices within a large healthcare system. Outcomes include feasibility of collecting emergency department visits, usability and acceptability of the intervention by nurse care managers, caregiver strain, behavioral symptoms of dementia and healthcare expenditures. Challenges of implementation include engaging key care management leaders, adaptation of the CareEco training modules for nurses, identification of primary caregivers, training and reinforcing knowledge and skills of the nurses, embedding clinical assessments into care manager workflows and integration with the EMR."}
+{"text": "Objective: To investigate the impact of the severity of age-related hearing loss (ARHL) and tinnitus, presence of ARHL and/or tinnitus, and physical frailty on the health-related quality of life (HRQoL) and domain-specific HRQoL in Chinese community-dwelling older adults.Design: This was a cross-sectional study of a community-based cohort.Participants: We evaluated Chinese older adults aged \u2265 58years.Measurements: The severity of HL and tinnitus were measured using pure-tone audiometry and the Tinnitus Handicap Inventory (THI), respectively. Physical frailty was measured using the five-item Fried scale. HRQoL was assessed using the Assessment of Quality of Life-8-Dimension (AQoL-8D) multi-attribute utility instrument (35 HRQoL items and eight domain-specific HRQoL subcategories). Low HRQoL (HRQoL score or subscores in the highest quintile) was used as a dependent variable in logistic regression analyses adjusted for demographic (Model 1) and health-related (Model 2) and psychosocial (Model 3) confounders.Results: Age-related hearing loss severity was an independent determinant of senses in the physical dimension of HRQoL after adjusting for all covariates. Tinnitus severity was significantly associated with HRQoL and with independent living, senses, and pain in the physical dimension after adjusting for demographic and health-related covariates and was still associated with independent living and senses after adjusting for all covariates. The presence of ARHL and/or tinnitus was significantly associated with independent living and senses in the physical dimension after adjusting for all the covariates. Physical frailty was an independent determinant of HRQoL, independent living, and pain in the physical dimension and with mental health, happiness, and coping in the psychosocial dimension after adjusting for demographic and health-related covariates. The association with HRQoL, independent living, and pain in the physical dimension, and with happiness and coping in the psychosocial dimension remained significant after adjusting for the covariates. Depressive symptoms, social dysfunction, and a number of comorbidities were critical determinants of psychosocial HRQoL.Conclusion: Physical frailty has a stronger and more profound effect on HRQoL, particularly on independent living and pain in the physical dimension and on happiness and coping in the psychosocial dimension. Domain-specific HRQoL should be considered in the management of patients with ARHL with tinnitus and physical frailty.Clinical Trial Registration:www.ClinicalTrials.gov, identifier: NCT2017K020. Age-related hearing loss (ARHL) is the most common chronic disorder of the sensory system . PhysicaThe severity of ARHL and tinnThe negative effect of the severity of ARHL and tinnitus and the presence of ARHL and/or tinnitus on HRQoL varies according to the assessment instruments used and confounders , 16. OveThe older population has more complex multimorbidity due to the overlap among physical frailty, comorbidity, and chronic physical and mental health diseases . PhysicaThis study aimed to determine whether these associations were different and independent of demographic, health-related, and psychosocial factors. We hypothesized that the association of physical frailty with HRQoL and specific domains in community-dwelling older people is different from that of ARHL with tinnitus.In total, 429 community-dwelling Chinese older adults (age \u226558 years) were recruited from our previous cross-sectional cohort study on ARHL with tinnitus and general health . The numAll the participants underwent cognitive function, hearing and tinnitus severity, QoL, and comprehensive geriatric assessments. The inclusion criteria were: permanenHealth-related quality of life was assessed using the 35-item Assessment of Quality of Life (AQoL-8D) self-report questionnaire. The questionnaire covers three physical and five psychosocial dimensions . The senThe severity of ARHL and chronic subjective tinnitus was assessed using pure-tone audiometry and the Tinnitus Handicap Inventory (THI), respectively. The pure-tone average (PTA) in the better ear was calculated using the.5-, 1-, 2-, and 4-kHz thresholds. The participants were then divided into four groups based on their hearing levels .Tinnitus was classified into three categories by severity . The patients were also scored based on the presence of ARHL and/or tinnitus .Cognitive performance was assessed using the global cognitive screening test; Mini-Mental Status Exam (MMSE); and normative z-scores of the neuropsychological test battery, including executive or attention, language, and memory domains , 25. Phy2). The medical questionnaire included self-reported smoking, alcohol intake, and chronic comorbidities ; adjusted for covariates in Model 1 and other health covariates (Model 2); and adjusted for covariates in Model 2 and psychosocial factors, including social dysfunction, depression, and neuropsychiatric symptoms (Model 3). These models were run for low HRQoL scores and then separately for each low domain-specific subscore, which was used as a dependent variable. All the statistical analyses were performed using SPSS version 18.0, and P < 0.05 was considered statistically significant.Continuous variables were expressed as medians and quartiles, and non-normally distributed variables were tested using the Kolmogorov\u2013Smirnov test. Meanwhile, categorical data were expressed as proportions and compared using the Patient characteristics stratified by ARHL, tinnitus, and the presence of ARHL and tinnitus are shown in The results of the multiple logistic regression models on the relationships between the severity of ARHL and high HRQoL (low scores) or low subscores in the physical dimensions of HRQoL are shown in For the physical dimensions, after adjusting for all the covariates in Model 3, absence of ARHL and subclinical ARHL were significantly associated with a higher probability of better HRQoL in senses domain. Meanwhile, mild ARHL showed a marginal association. In Model 3, physical frailty had no effect on senses, while social dysfunction was associated with significantly worse senses. Lack of physical frailty and pre-physical frailty were associated with significantly higher probability of independence and less pain after adjusting for all the covariates . Other iAge-related hearing loss severity showed no significant association with all the five psychosocial dimensions . No physThe results of the multiple regression models on the relationships between tinnitus severity and HRQoL or physical dimensions of HRQoL are shown in Among the five psychosocial dimensions, depressive symptoms were independent risk factors for worse psychosocial dimensions, and social dysfunction was an independent risk factor for worse mental health, happiness, and relationship. Tinnitus severity was not directly associated with the psychosocial dimensions . AbsenceThe relationships of presence of ARHL and/or tinnitus with HRQoL or physical dimensions of HRQoL in the different multiple regression models are shown in p = 0.076, respectively) and relationships after adjusting for the covariates in Model 2 and in relationships after adjusting for all the covariates in Model 3. Depressive symptoms were the major determinant of all the five psychosocial dimensions, and social dysfunction was an important determinant of mental health, happiness, and relationships. Age, education level, smoking, and CVD were also independent risk factors for mental health after adjusting for all the covariates.The presence of ARHL and/or tinnitus was not associated with any of the five psychosocial HRQoL domains . Those wThe impact of the presence and severity of ARHL and tinnitus, ARHL, tinnitus, and physical frailty on the HRQoL and its specific domains in community-dwelling older adults is yet to be clarified to date. This study found an association of ARHL severity with the senses domain of HRQoL, and the association remains significant after adjusting for demographic, health-related, and psychosocial covariates. Tinnitus severity is negatively associated with HRQoL and with three physical dimensions, but the association is no longer significant for HRQoL and pain after adjusting for all the covariates in Model 3. The presence of ARHL and/or tinnitus is only significantly associated with independent living and senses, and the association remains significant after adjusting for all the covariates. The severity of physical frailty is significantly associated with worse HRQoL (high scores) and independent living and pain (high subscores), and the associations remain significant after adjusting for all the confounders. Moreover, the severity of physical frailty is also significantly associated with the psychosocial domains of mental health, happiness, and coping, and the association is only decreased for mental health after adjusting for the psychosocial covariates in Model 3. The use of a multidimensional HRQoL questionnaire and the three models, with successive adjustments for different covariates, provided original information on these relationships.These results extend our understanding of the association among the severity of ARHL , 9, tinnThe effects of age-related auditory disorders (ARHL and tinnitus) on the specific domains of HRQoL were significantly different from those of physical frailty. Previous studies have indicated that ARHL, tinnitus, and the presence of ARHL and/or tinnitus were significantly associated with physical function , frailtyOur study also showed that psychosocial factors, such as social dysfunction and depressive symptoms, were independent determinants of the psychosocial dimensions of HRQoL. In a large cross-sectional population-based study of individuals aged >19 years, hearing loss with tinnitus had a significant impact on all five dimensions of HRQoL . In contSeveral studies have shown that frailty, including physical frailty, is significantly associated with worse HRQoL in the community-dwelling older people , 14. AmoAside from ARHL, tinnitus, physical frailty, education level, BMI, alcohol intake, disability in basic activities of daily living, multicomorbidity, chronic diseases, cognition, and depressive symptoms also influence HRQoL , 26, 35.To our best knowledge, this cross-sectional study is the first to report the different effects of the severity of ARHL, tinnitus, and physical frailty, and the presence of ARHL and/or tinnitus on overall HRQoL and its specific domains. The use of a multidimensional HRQoL instrument, in combination with several self-report and objective covariates, in the assessment improved the robustness of the data collected. However, there are also some limitations to this study. First, participation was voluntary, which could have led to selection bias. Second, the cross-sectional design limited the analysis of causal relationships. For example, ARHL and tinnitus are associated with depressive symptoms , 29, 34 In conclusion, ARHL severity is an independent determinant of senses, while tinnitus severity is an independent determinant of independent living and senses in physical HRQoL. Physical frailty is an independent determinant of overall HRQoL, of independent living and pain in the physical dimension, and of happiness and coping in the psychosocial dimension.The original contributions presented in the study are included in the article/supplementary material, further inquiries can be directed to the corresponding authors.The studies involving human participants were reviewed and approved by the Ethics Committee of Huadong Hospital, Fudan University. The patients/participants provided their written informed consent to participate in this study.QR, ZY, and ZH conceived and designed the study. QR wrote the article. WZ, JR, RZ, MZ, XH, and ZY conducted the investigation and data analysis. All authors contributed to the article and approved the submitted version.This study was supported by the Medical Science and Technology Support Project of Shanghai Science and Technology Commission (Grant Nos: 18411962200 and 20Y11902300), Shanghai Municipal Key Clinical Specialty (Grant No: shslczdzk02801), and the National Key Research and Innovation Project (2018YFC2002000).The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest.All claims expressed in this article are solely those of the authors and do not necessarily represent those of their affiliated organizations, or those of the publisher, the editors and the reviewers. Any product that may be evaluated in this article, or claim that may be made by its manufacturer, is not guaranteed or endorsed by the publisher."}
+{"text": "Royal Society Open Science [We introduce the Life Sciences New Talent collection, comprising invited papers which showcase emerging fields of cross-disciplinary life sciences research and some of the exciting work funded by the Royal Society. The collection is part of a series of commissioned New Talent collections originally started with the Chemistry New Talent collection which ha Science .Royal Society Open Science, commissioned this collection with the aim of expanding the breadth of these New Talent collections to showcase early career investigators in the Life Sciences.We, the Editors of the Biochemistry, Molecular & Cellular Biology, and Genetics & Genomics sections of The papers published in this collection were invited from recent awardees of a Royal Society University Research Fellowship (URF) , Sir HenParamecium bursaria, opening the door to the investigation of its nascent endosymbiotic relationship with a green algae partner [We have enjoyed reading and preparing these manuscripts, which highlight the extraordinary breadth of new talent in the UK Life Sciences research community. Yulia Yuzenkova, a Royal Society URF at Newcastle University, reviews the fast-developing field of non-canonical RNA capping, highlighting the prevalence of this RNA modification across the domains of life . Lu-Ning partner . Michael partner . Benjami partner .Wolbachia bacterial strains in populations of the mosquito Anopheles gambiae in Guinea\u2014findings that identify further candidate strains that might be used in the future for malaria biocontrol strategies [Helge Dorfmueller, a Sir Henry Dale Fellow at Dundee University, contributes a review of recent developments in the understanding of Group A Streptococcus pathogenesis and the implications for vaccine development . Kok-Lunrategies . Christorategies .At the time of writing, we also hope to include the following contributions to our New Talent collection: Andrew Hitchcock, a Royal Society URF at the University of Sheffield, and colleagues review the state of our understanding of the catalytic function, substrate recognition and regulation of two key enzymes which are critical to the final stages of (bacterio)chlorophyll biosynthesis. Benjamin Steventon, a Sir Henry Dale Fellow at the University of Cambridge, reviews the current state-of-the art in the study of pattern formation in static and motile cellular environments, looking ahead to challenges and the approaches that may surmount them. Maria Christophorou, a Sir Henry Dale Fellow at the Babraham Institute, reviews citrullination and its consequences for cell physiology. Joe Grove, a Sir Henry Dale Fellow at the Centre for Virus Research, Glasgow, surveys processes of viral entry to cells and mechanisms of inhibition by antibodies.https://royalsocietypublishing.org/topic/special-collections/life-sciences-new-talent [We hope that readers of the journal will explore this collection and find something of interest. These papers are all curated at w-talent ."}
+{"text": "Colorectal carcinoma is a highly prevalent and heterogeneous gastrointestinal malignancy. The emergence of organoid technology has provided a new direction for colorectal cancer research. As a novel-type model, organoid has significant advantages compared with conventional tumor research models, characterized with the high success rate of construction and the high matching with the original tumor. These characteristics provide new possibilities to study the mechanism of colorectal carcinogenesis and improve the treatment effects. The present literature would mainly summarize the characteristics of tumor organoids and the up-to-date technique development of patient-derived organoids (PDOs) and application in colorectal cancer. Colorectal cancer (CRC) is a highly prevalent and incurable tumor in the population, which is recognized as the third riskiest cancer of death worldwide and the second most deadly cancer in the United States . There aRegarding traditional models in CRC research, APC(Min/+) mice are mainly used to study the effect of the interaction between APC and other related genes and pathways on the origin and progression of intestinal adenomas , 7. Adenin vitro. It has apparent advantages, such as simple operation, fast proliferation, short culture cycle, high success rate, high reducibility to the physiological properties of tumor tissues, and self-renewal ability.In addition, cell lines, patient-derived xenograft (PDX), and tumor organoids were created for studies of each stage of CRC. However, the limitation of cell lines and PDX lies in their loss of heterogeneity of CRC genes, which was inaccurate in the study of advanced CRC , 10. Duein vitro in 2009 , which promotes the proliferation of cancer cells. Noggin protein, a bone morphogenetic protein (BMP) inhibitor, regulates cell differentiation and prevents bone metastasis in CRC. R-spondin1, a Wnt pathway activator, promotes proliferation and metastasis of cancer cells. Prostaglandin E2 (PGE2) and nicotinamide both provide nutritional support to the organoid that maintains long-term activity. Two more compounds, A83-01 (TGF-\u03b2 inhibitor) and SB202190 (p38 inhibitor), are both often used to inhibit the migration of cancer cells and help maintain the stability of the tumor organoid and growth factors that regulate signaling pathways are all necessary for culture. After preparing the required organoid materials, the culture process Figure\u00a02organoid . Furtherorganoid , 28.Up to the present day, there are still some challenges in the construction of organoids. In terms of the extracellular matrix, there are shortcomings such as high cost, complex specific composition, poor controllability, and limitations in the application. Besides, the tumor organoid after tissue implantation into Matrigel by digestive enzymes contains only epithelial cells and lacks mesenchymal cells, immune cells, and other non-cancerous cells, while the proliferation and differentiation of tumor tissues are affected by the microenvironment containing epithelium and mesenchyme , and theIn conclusion, materials and techniques for the construction of CRC organoids still need to be optimized and constantly upgraded and created to better satisfy the practical needs of clinical implementation.in vitro culture conditions. In 2011, the team of Sato along with collagen as the core material, which can compensate organoids for the ability of personalized treatment assessment to some degree.Nevertheless, incomplete replication of the models for the biological environment of the intestine as the limitation of models may not be conducive to the development of organoids in CRC; the current research , 40 idenin vivo experiments by verifying in vitro that PDOs are highly concordant with the genes and histological properties related to the source tumor and to better guide clinical use of drugs and personalized treatments by uncovering the diversity of tumor responses to drugs. Initially, van de Wetering et al. , microsatellite instability (MSI), CpG island methylator phenotype (CIMP), and sawtooth-like pathway . Therefoet al. , especially high (MSI-H), occurs inextricably with DNA mismatch repair (MMR) gene silencing, commonly MLH1, MSH2, MSH6, and PMS2 . In contmutation and abnomutation , often tmutation verifiedf Takeda establishf Takeda that 90%V600E as well as MLH1 mutation organoids and successfully modeled the characteristic lesions related to serrated colorectal adenocarcinoma, such as infiltrative growth of serrated tissue with mucus cap, and detected an increased frequency of CpG methylation, which verified that the serrated pathway activation has a strong correlation with BRAF V600E, MSI, and CIMP. It can be supposed that the organoid can still maintain high fidelity to the CRC environment, which provides a piece of important evidence for extensively studying the molecular pathways of CRC in the future.As unique colorectal carcinogenesis pathways, both CIMP and the serrated pathway are relevant in most cases. CIMP, generally interpreted as CpG island methylation, inhibits the normal transcription of genes and thus downstream genes for their normal expression. It is mostly positively expressed in serrated colorectal adenomas, often occurring in collaboration with both BRAF mutations and MSI . The LanIn summary, CRC organoids are competent to recapitulate the relationship between genes and signaling pathways and validate the complexity, diversity, and association between pathway mechanisms of oncogenesis. Applications of tumor organoids can promote research in predicting the development of CRC prognosis based on genetics and in innovating oncology drugs to regulate the interaction among pathways.Due to the phenomenon of tumor heterogeneity, the response of tumors induced by different pathways to drugs may also differ, so the development of various antitumor drugs is inseparable from the study of tumorigenesis and development mechanisms. Furthermore, the preclinical, experimental stage is necessary to ensure that the efficacy of drugs in clinical applications can still achieve the expectation in basic research, which requires the support of a majority of suitable models. On the one hand, CRC PDOs can be used to establish a biological sample bank and preserve the heterogeneity of CRC, providing abundant preclinical models that can be used to predict drug response and efficacy; on the other hand, organoids can be functional in estimating the effect of drugs on genes or signaling pathways referring to the mutation characteristics of colorectal oncogenes and screen out suitable anti-CRC drugs referring to patients\u2019 clinical\u2013pathological data.et al. and programmed cell death-ligand 1 (PD-L1) are popular immunotherapeutic targets in CRC . By incuUp to now, as the concept of personalized medicine is gradually kept in mind, the space for organoid technology continues to grow. The use of CRC organoid culture technology has broadened the horizons of diagnosis and treatment of CRC and reminds us to target more breakthroughs in medical healthcare and drug selection of CRC.Major progressions of organoids from 2009 to 2020 are supplemented in JL, XH, BZ, and WT conceived of the study and participated in its design and coordination and helped to draft the manuscript. JL, XH, LH, JH, DL, LL, YD, LZ, BZ, and WT made a significant contribution to the work about the analysis, writing, and interpretation. All authors contributed to the article and approved the submitted version.This research was funded by the Guangxi Clinical Research Center for Colorectal Cancer (Guike: AD19245197); Research Basic Ability Improvement Project for Guangxi Young College Teachers (2021KY0087); Innovation Project of Guangxi Graduate Education (YCSW2021133); Guangxi Medical University Autonomous Region-level College Student Innovation Training Project (202110598177); Guangxi Natural Fund Facial Project (2021JJA140081); Guangxi Medical and Health Appropriate Technology Development and Promotion Project (S2021016); and The project of improving the basic ability of scientific research of young and middle-aged teachers sponsored by the Education Department of Guangxi Zhuang Autonomous Region (2021KY0086).The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest.All claims expressed in this article are solely those of the authors and do not necessarily represent those of their affiliated organizations, or those of the publisher, the editors and the reviewers. Any product that may be evaluated in this article, or claim that may be made by its manufacturer, is not guaranteed or endorsed by the publisher."}
+{"text": "Background: Dance interventions are considered beneficial for older patients with mild cognitive impairment in many aspects. We conducted a comprehensive systematic review and meta-analysis to assess the effects of dance on different aspects of this population.Methods: A systematic search of PubMed, Web of Science, the Cochrane Central Register of Controlled Trials, Embase, American Psychological Association PsycInfo, ProQuest, Scopus, Cumulative Index to Nursing and Allied Health Literature, the Chinese BioMedical Literature Database, the VIP Database for Chinese Technical Periodicals, China National Knowledge Infrastructure, and Wanfang Data database was performed. Two reviewers independently assessed the study quality.Results: Fourteen studies were retrieved from the databases for analysis. The pooled results showed that dance interventions significantly improved global cognition , rote memory , immediate recall , delayed recall and attention . No significant improvement was found in executive function, language, depression, anxiety, dementia-related behavioral symptoms, motor function, and quality of life.Conclusion: Dance interventions benefit most aspects of cognitive functions. The evidence for the effects of dance on psycho-behavioral symptoms, motor function and quality of life remains unclear. More trials with rigorous study designs are necessary to provide this evidence. The Lancet reported that approximately one-fifth of the older population, aged over 65 years, experience MCI was first proposed by Reisberg et al. , to descThe intervention methods for MCI can be pharmaceutical or non-pharmaceutical. Current reviews have found that acetylcholinesterase inhibitors used to treat Alzheimer's disease (AD) have proven ineffective in the MCI treatment group , lifestyle, emotions, and social functions, thereby improving the quality of life (QOL) of the research subjects ; to establish a general summary of the existing literature; and to provide a basis for follow-up studies in this field.This work adhered to the Preferred Reporting Items for Systematic reviews and Meta-Analyses guidelines and was prospectively registered with the International Prospective Register of Systematic Reviews (CRD42021230159).RRID:SCR_004846), Web of Science, the Cochrane Central Register of Controlled Trials , Embase , American Psychological Association PsycInfo , ProQuest , Scopus, Cumulative Index to Nursing and Allied Health Literature, the Chinese BioMedical Literature Database, the VIP Database for Chinese Technical Periodicals, China National Knowledge Infrastructure, and Wanfang Data. To ensure the comprehensiveness of the included studies, we used combinations of Medical Subject Headings and free text words without language restrictions from inception to November 12, 2020. We also retrieved the reference lists of all eligible studies and other relevant studies using alternative approaches . The complete search strategy is provided in We searched the following electronic bibliographic databases: PubMed ; dance not limited to the frequency or duration of the intervention; dance performed under the guidance and supervision of trained professionals or by the participants themselves.We defined dance intervention by the following principles: systemic movements of the body that are needed to be observed and imitated, are focused on physical flexibility and expression of emotion, and are accompanied with music.Including but not limited to drug treatment, regular therapy, and educational programs.At least one measure of cognitive function , motor function , psycho-behavioral symptoms , and QOL.Studies that included the following tests were included in the review: Mini-Mental State Examination (MMSE) and Montreal Cognitive Assessment (MoCA) to assess the global cognition level; Trail Making Test Parts A (TMT-A) mainly to evaluate rote memory of patients; Trail Making Test Parts B (TMT-B) primarily to assess executive function; Logical Memory I (LM-1) and Rivermead Behavioral Memory Test (RBMT) to measure immediate recall; Logical Memory II (LM-2) to assess delayed memory; the Symbol Digit Modalities Test (SDMT) or Test of Everyday Attention (TEA) to assess attention; the Boston Naming Test (BNT) to assess the language function in patients with cognitive impairment.Studies that included the following tests were included in the review: Psycho-behavioral symptoms evaluated using Neuropsychiatric Inventory (NPI) to assess the 12 behavioral disorders occurring in patients with dementia such as delusions, hallucinations, agitation, dysphoria, anxiety, apathy, irritability, euphoria, disinhibition, aberrant motor behavior, night-time behavior disturbances, and appetite and eating abnormalities; degree of anxiety mainly measured by the Hospital Anxiety and Depression Scale (HADS); the Geriatric Depression Scale and HADS to test depression.Studies that included the following tests were included in the review: Berg Balance Scale (BBS) to evaluate balance; the Timed Up and Go (TUG) test to test functional mobility.Studies that used the following two scales for QOL evaluation were included in the review: Quality of Life in Alzheimer's Disease (QOL-AD) and the 36-item Short Form Health Survey (SF-36).Studies that were randomized controlled trials (RCTs) or quasi-experimental trials were included in this review.Two reviewers worked independently to identify studies that met the inclusion criteria briefly by screening the abstracts. If the abstract did not provide sufficient information, the full text was obtained to determine the study's eligibility for inclusion in this review. Any disagreements were resolved after discussions with a third reviewer (JYC). We excluded studies for which complete information could not be obtained despite our best attempts.RRID:SCR_014001) and NoteExpress.For each eligible study, information about the first author's name, country, number of participants, age, male to female ratio, control group intervention, intervention characteristics , and outcome measures were extracted using a self-designed standardized form . Two revTwo reviewers independently assessed the study quality according to the Cochrane Handbook for Systematic Reviews of Interventions to perform the meta-analysis. Since all data were continuous, we selected the mean difference (MD) with 95% confidence intervals (CIs). When different scales were applied to measure the same outcome, we used the standardized mean difference (SMD). Heterogeneity in the included studies was tested by the Cochrane Q statistic and quantified by the IUsing the search strategy, 1,534 articles were identified from 12 databases . After en = 7) Yi, , USA , and other studies described their dance interventions as choreography, poco-poco dance, and standard dance-based aerobics format. The poco-poco dance course was guided by experienced professionals who gradually increased the difficulty and intensity of the dance both for acceptance and safety. BAILAMOS\u00a9 program was professionally guided based on the BAILAMOS\u00a9 guidebook. The researchers constantly adjusted the dance content in conjunction with the difficulty of the steps and safe limit of each of the participants. The dance used props (Velcro bracelets of different colors) to help participants remember their movements. Chinese square dancing, which originated in China, involves a variety of dance forms, but is also easy to learn. Dance rug is a modern aerobics game that is simple and easy to operate, allowing participants to learn at home without outside guidance. Yangko is a traditional Chinese folk-dance form. This dance mainly involves the twisting of various parts of the body; this unique form of exercise has particular advantages.The data for the risk of bias in the included studies is provided in P < 0.00001; Twelve studies examined the effects of dance interventions on global cognition. Analysis of global cognition at the end of the intervention demonstrated a significantly higher post-intervention global cognition level in the dance group than in the control group. The pooled SMD showed a statistically significant increase in global cognition , we performed a sensitivity analysis. When we excluded the four quasi-experimental trials . Another study .Two studies were pooled for the BNT results. One study illustrated that a structured modular ballroom dance intervention can improve language among older people with MCI . However, another trial . Four studies . One study . Another study .Eight studies compared the dance intervention group with non-dancing controls to evaluate the effectiveness of dance intervention on depression in 577 older adults. Two trials . In contrast, another RCT .Two studies . Another study indicated that a 48-week ballroom dance program could improve these symptoms in older people with MCI . However, both studies demonstrated no significant differences in dementia-rated behavioral symptoms between the two groups.Two . Another RCT .Two studies . However, one RCT . One study .QOL scores were available for 136 participants from three trials. Two trials . Furthermore, we performed a descriptive analysis for those results of the meta-analysis with more significant heterogeneity (>50%).The aggregate results of MMSE and MoCA evaluations showed that the dance intervention group was better than the control group in terms of overall cognition, and the results were durable and stable when sensitivity analysis was performed. Dance intervention as an aerobic exercise maintains the integrity of cerebral vessels by providing blood, oxygen, and nutrients and influences cognition by increasing brain-derived neurotrophic factor levels and synapses, promoting the growth and survival of neurons , Nursing science, a key discipline project of Jiangsu Province during the 13th Five-Year Plan period (sjy [2016] No. 9), Project Studies on Construction of Core Competency Model and Development of Assessment Tool for Nurses of Hospice Care supported by NSFC (72004099), and Project Comparative study on hospice care mode between China and Canada (2017SJB0295) supported by Philosophy and Social Science Foundation of universities in Jiangsu Province.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest.All claims expressed in this article are solely those of the authors and do not necessarily represent those of their affiliated organizations, or those of the publisher, the editors and the reviewers. Any product that may be evaluated in this article, or claim that may be made by its manufacturer, is not guaranteed or endorsed by the publisher."}
+{"text": "Area Agencies on Aging (AAAs) have played an important and well-documented role in meeting the nutritional and wellness needs of older adults during COVID-19. To better understand the continued impact of COVID-19 pandemic on AAA services, partnerships, and clients, the National Association of Area Agencies on Aging surveyed the nation\u2019s 618 AAAs in February 2021, with a 27% response rate. As a result of COVID-19, most AAAs reported both increased numbers of new clients and needs of existing clients; three-quarters of AAAs developed new external partnerships; and over half are implementing strategies to address equity and inclusion regarding their services and clients. Nearly 80% of AAAs are involved with COVID-19 vaccine outreach and delivery, from scheduling appointments to administering the vaccine to homebound clients. We will describe these and other transformations of services, partnerships, and client needs; discuss challenges and opportunities; and provide examples and video vignettes from AAA directors."}
+{"text": "Social isolation and loneliness are detrimental risk factors to older adult\u2019s physical and psychological well-being and quality of life. Given the current situation of the COVID-19 pandemic, social isolation has risen. Social isolation affects younger adults as well and may increase the chances of depression and anxiety. In this study, we tested the acceptability and feasibility of an Intergenerational Bonding (IGB) Program with older and younger adults. Participants include students aged 19-29 at the University of Nebraska at Kearney and older adults above the age of 60 residing in the community. First, we surveyed younger and older adults to determine their interest level in participating in an IGB Program. Both groups of participants rated their interest in different activities. The most popular activities among both groups included engaging in conversations, board games, and an exchange of skills. Neither of the groups was in favor of participating in free housing opportunities or sports-related activities. Response rates were high in young adults but low in older adults, due to lack of trust. Then, in a pilot study, we measured the feasibility and acceptability of the IGB Program. Older adults residing in independent dwellings, assisted living environments, nursing homes and members of community groups were invited to participate in the intergenerational program. Response rates of older adults were low. Further, establishing collaboration with institutions such as nursing homes was not easy despite initial interest. Building trust and working with community activity group facilitators would be beneficial in recruiting older adults."}
+{"text": "While the US-Mexico border region has had increasing restrictions due to coronavirus 2019 (COVID-19), the economically and socially integrated region continues to facilitate necessary movement between the two countries. Binational partners representing universities, government, and health delivery worked together to develop a COVID-19 Virtual Seminar for the US-Mexico Border Region, which consisted of weekly sessions in Spanish designed to better facilitate communication and collaborative systems between border states. In total 835 participants registered for the virtual seminar with attendance ranging from 394 in Session 1 to 269 in Session 6. From evaluation surveys (n\u2009=\u2009297), organizers observed a large plurality of healthcare professionals, followed by students, researchers, and government employees. The seminar\u2019s contribution to increasing collaborative and communication systems identified major needs in the region surrounding surveillance and monitoring; increased resources for migrant shelters to control outbreaks; an increase in personal protective equipment; tracking binational cases. Coronavirus-19 (COVID-19) has had a major impact on population health and health systems across the globe, with the WHO reporting approximately 108.2 million cases and over 2.3 million deaths globally [The US-Mexico border region stretches for approximately 2000 miles along the southern end of the US and most northern area of Mexico. It consists of the US states: California, Arizona, New Mexico, and Texas; and the Mexican states: Baja California, Sonora, Chihuahua, Coahuila, Nuevo Leon, and Tamaulipas. The interdependence of the two countries has continued manifest into a tightly woven region that shares economic, cultural, social, and behavioral ties, regardless of the increased politicization of the border region in recent decades . OverallIn order to better facilitate communication and collective action to monitor and prevent COVID-19 across border region, the US-Mexico Border Health Commission, the University of Arizona, and El Colegio de la Frontera Norte established a virtual seminar series. The series conducted in Spanish shared the state of COVID-19 along the border region, public health prevention efforts, and actions taken by every state government to mitigate the impact of the virus. The seminar series was specifically designed for health personnel and providers, academics, students, among others interested in the topic. The overall objectives of the seminar series to promote information exchange, enhance monitoring processes, identify mutual issues,and promote discussions surrounding solution-based approaches.The COVID-19 Virtual Seminar Series for the US-Mexico Border Region was designed as six weekly 90-min sessions with experts in the field invited to present for approximately 20\u00a0min. The formAll sessions were conducted in Spanish using Zoom with only presenters having permission to share video and audio, while participants had access to a chat feature for questions, reflections, and/or comments on the seminar. Participants were asked to register prior to sessions. All registered participants were able to attend all sessions, given they were subsequently were notified and provided information for every weekly session. At the conclusion of the seminar series, registered participants received an online evaluation form. As no personal or identifiable information was collected, and the investigators are reporting the findings of an open public seminar, US-Mexico Border Health Commission exempted from review.As seen in Table Surveillance and monitoring of suspicious and positive cases, along with tracking of contacts to decrease the spread of the virusIncreasing the diagnostic capacityAcquiring of supplies including personal protective equipment for essential workers and healthcare workers.Strengthening and standardizing of mental health care programsControlling the outbreaks among vulnerable populations specifically, indigenous communities and migrant farm workersIdentification and tracking of cases, as well as exchange of information at the binational level, particularly to address the transmission through binational cases.The last seminar brought together decision-makers across the region to discuss issues across states in the US-Mexico border region, along with collaborative efforts to increase surveillance and control of COVID-19. Identified challenges discussed across the US-Mexico border region:As seen in Table Given the fluidity of the border region, both in crossing of people, goods and services, the Virtual Seminar highlighted the importance of continued communication and collaboration in impeding the epidemic in the US-Mexico border region. As most countries around the world, the US and Mexico, were not an exception to the unpreparedness in addressing the magnitude of this pandemic.In 2011, an infusion of resources was distributed to states across the US and Mexico through the US-Mexico Border Health Commission, which was establish and approved by both federal governments for prevention efforts and public health emergencies , 8. ThesIn addition, there still lacks a cohesive effort by border states to collectively define binational cases. As such, there is an opportunity to recommend at the very least the importance of revisiting collective binational surveillance efforts at both federal and state levels, regardless of political affiliation. These cases that move seamlessly back and forth across the international boundary need to be properly and promptly addressed to curve current pandemics along the border region. This also has critical implications for contact tracing\u2014improved implementation of communication and surveillance systems can immediately identify binational cases through contact tracing to rapidly mitigate community spread on both sides of the border. In addition, this can be extended to migrant shelters and communities that have seen consistent outbreaks, and are in urgent need of additional resources to combat COVID-19 transmission. Lastly, the Operational Protocol for Binational Communication and Coordination between Mexico and the United States on Disease and Outbreak Notifications should be updated, implemented, and serve as policy for improving practice in communication sharing and forging opportunities for collaboration with the current pandemic and future events that require early detection and response."}
+{"text": "With the application of engineering management in smart city construction under Industry 4.0, the intelligent design of urban street landscape has attracted extensive attention. Affected by the low intelligent level of traditional landscape design, the existing urban landscape composite system has difficulty in meeting the needs of smart city construction. Therefore, this paper proposes the construction of street landscape big data-driven intelligent decision support system based on Industry 4.0. Based on the complex network theory, this paper analyzes the structure, links, nodes, driving forces, and functional requirements of urban street landscape and then puts forward the construction content and implementation method of urban street landscape intelligent decision support system. The system consists of four aspects: intelligent infrastructure, service, protection and maintenance, and management and evaluation system. Its implementation not only reflects the cooperation and effective application of intelligent technology in each stage of street landscape construction, but also provides reference for the application of engineering management in other fields under Industry 4.0. Based on the connectivity provided by the Industrial Internet of Things (IIoT) and the use of a variety of digital technologies such as cloud computing, big data, and artificial intelligence, Industry 4.0 is proposed as a new stage of industrial maturity , 2. ThesAs an important part of smart city construction, landscape architecture is also facing opportunities and challenges brought by the intelligent process. Smart gardens changing the construction, operation, and management modes of traditional gardens can effectively improve the efficiency in landscape garden industry, realizing the normalization, standardization, digitization, networking, and intelligence of garden construction . The typIn the construction of urban street landscape intelligent system, \u201curban street\u201d refers to the urban road equipped with sidewalks, municipal utilities, and various buildings on both sides in the overall length or most sections. As one of the subsystems under the future urban open complex giant system, the nature, function, form and structure of urban street are more complex than traditional urban road. Urban street serving as the most basic public urban space focuses on the citizens' life and humanized experience, which facilitates the interpersonal communication and interactions via emotional sustenance as well as playing an irreplaceable role in shaping the urban charms and vitalizing the economic development , 10.Relying on the complex network theory and \u201cInternet +\u201d thinking, the smart landscape cooperates with new-generation information technologies such as Internet of Things, big data cloud computing, mobile Internet, remote sensing, and information intelligent terminal, obtains time-domain advantages, and responds quickly to social and natural activities carried in the landscape space. Integrating the spatial domain of modern ecological landscape into the large database achieves the intelligent connection between scattered social activities and needs of human beings, nature and landscape space for the interactive perception, and cognition and communication and improves the utilization and sharing rate of various scattered landscape resources, thus promoting the intelligent construction, service, and management of landscapes , 12.The design of intelligent street landscape systems shall be based on the comprehensive consideration of user needs, greening landscapes, and basic street functions, through the Internet of Things, web services, and virtualization technology. The basic attributes, characteristic parameters, status, and other information of various street landscape elements are dynamically and intelligently sensed and accessed in real time, to build street space intensively. Through processing the information perceived by the landscape intelligent system, data collection, integration, analysis, processing, and feedback are realized under the mapping of landscape resources in urban streets. On the premise of ensuring the basic functions of the road, people's travel safety, life, and social security should be guaranteed, which provides conditions for the scientific, rapid, comprehensive, and visual development of urban street landscape design and management.The construction of intelligent systems for urban street landscape based on complex network theory and the integration of smart landscape concept into the traditional urban street landscape indicate further improvement, which shall meet the requirements for intensive intelligent spaces, multiple interactive experience, and green ecology of energy conservation , 14.In order to cope with the multiple landscape needs under the complex system of urban streets, the intelligent street landscape system based on the complex network realizes the intelligent supply-demand matching of street landscape space services from the three levels of landscape facilities Internet of Things, service Internet, and user Internet.The construction of street landscape intelligent system mainly involves four aspects: intelligent infrastructure, intelligent service, intelligent protection and maintenance, and intelligent management and evaluation.Intelligent infrastructure is the physical layer and the foundation of street landscape intelligent systems. The infrastructure of street landscape intelligent systems shall proactively provide the information and services desired in addition to the basic functions and be available to correlate with other facilities and even users for the formation of a complete intelligent network featuring information interaction and function linkage, thus completing the virtualization and service-oriented information interaction and functional linkage of the intelligent information system.Information infrastructure is the basis of intelligent street landscape, covering the electric information screen shown in Data cognition is the core of intelligent street landscape development. The data infrastructure is used to collect and integrate street landscape data, achieving the intelligent street landscape construction by providing the users and managers with comprehensive and intuitive information based on the integration and analysis of multisource data (basic/business/service databases).Basic database clarifies the spatial location and surrounding environment of urban street landscape for the precise positioning of smart landscape. Business database has multiple subdatabases covering the special data, system planning and management, monitoring management, and industry management available for the precise and whole-process collection of street landscape data. Service database can provide the popular science knowledge about smart street landscape for the public and facilitate the review of various urban green spaces and scenic spots by potential travelers .Based on the ecological requirements of the street landscape intelligent system construction, ecological observation of the street is an effective measure to achieve this goal. Using RFID (radio frequency identification) technology, the real-time update of spatial ecological information of street landscape can be realized, and the location of vegetation, structures, and buildings can be monitored online. Special sensors and wireless sensor networks for street landscape ecological observation can effectively realize real-time data acquisition and transmission. Real-time monitoring of the street green space ecosystem can help with maintenance and management of the green landscape. Furthermore, the obtained ecological econometric characteristic data can aid in the formation of quantitative analysis results of the street landscape space, resulting in better landscape and ecological effects from green space maintenance and management, The service object of the intelligent street landscape systems is the streetscape users. The construction of intelligent service system is based on Internet functions, which can realize the dynamic matching of the user's needs. From the perspective of users, in the process of system construction, our goals and demand motivation can be evaluated, and the service content can be derived dynamically.In terms of qualitative or quantitative data, managers could be provided with genuine feelings, opinions, and suggestions generated by the public in the service experience. With the help of dynamic characteristics analysis of smart infrastructure, a reliable method for demand forecast management is provided. Thus, public involvement can be achieved, and the quality of the service improves continuously .Network service platforms are the basis for intelligent service and the guarantee for intelligent linkage with other service facilities. The construction of portals serving the public shall cover various services such as bus routes, e-maps, traffic notices, travel tips, and road service calls. In addition, the construction of mobile-based network service platforms shall also be emphasized to ensure the real-time content update and provide mobile users with street information services based on the shared portal resources.Basic street services are mainly the traffic, lighting, and other necessary basic services. For instance, the smart parking management system achieves the real-time monitoring of parking spaces and the intelligent guidance about available parking spaces based on the information inquiry of parking lots and spaces through various intelligent terminals such as smart phones. The construction of public transportation system shall ensure the timely release of bus information and certain functions in combination with the special bus signal system for important bus corridors and the intelligent bus stations. The streets with heavy traffic flows shall be equipped with smart toilets, which are available for the information inquiry of location and real-time usage through various intelligent terminals . In addition, the intelligent lighting system subject to the independent sensing, timing, voice control, or remote control of intelligent terminals shall also be arranged for the smart control of landscape lighting in different areas , Figure The intelligent terminals and multilanguage terminals for self-service navigation shall be arranged to facilitate the inquiry of street and surrounding-area e-maps and tour route planning as well as the scenic spot/plant introduction using QR code/RFID technologies .An interactive information system shall be established to provide life, service, business, and medical information for citizens, with various network service platforms serving as the channels for street information release, covering the street information, real-time road conditions, toilet usage, spare parking spaces, restaurant usage, and other basic information; climatic information and health information such as negative oxygen ion content in key areas Figures Personalized services available at various network service platforms can meet the street use demands of different people , for insCompared with the traditional consulting/complaint services, the services provided through the intelligent system are more convenient and efficient, and multiple channels are available for the public. The intelligent system of linkage service can achieve the unified receipt and instant feedback/response to consultations and complaints from telephones and network terminals.In order to improve the user experience, a multimedia experience center focusing on historical districts shall be constructed using multiple technologies for the display of historic landscapes, original natural features, and historical changes. The 3D panorama/reality enhancement display technology and 360\u00b0/720\u00b0 real-life photos or videos can be utilized to create the virtual blocks for digital virtual tours that are available at portals and terminal devices , 21.Intelligent protection and maintenance are the function expansion of the user Internet based on the Internet of Things of landscape facilities. Dynamically generate landscape maintenance needs based on smart infrastructure, and dynamically match landscape maintenance needs with landscape maintenance services through the Internet of Things technology. Realize the informatization and intelligence of the protection and maintenance process, provide visual guidance on daily maintenance process and key technology, and the responsible personnel and stages could be specified for the real-time recording of maintenance process and information .Green space protection and maintenance are the key to intelligent protection and maintenance, covering the digital recording, monitoring, and control of boundaries and green resources including the main plants and facilities. The important spots and key facilities shall be equipped with 3D scenes for inspection and comparison via intelligent terminals, mainly involving the plant irrigation and fertilization, pest and disease and freezing damage management, and intelligent cultivation.Environmental monitoring and intelligent irrigation system can provide effective services for intelligent plant irrigation and fertilization management. The digital data processing of soil nutrients can maximize the effects of water-saving and precise irrigation, scientific management, and low-carbon maintenance , 24. TheThe GPS positioning and FRID technologies shall be adopted for the control of plant diseases and pests, with the dynamic tracking system established to ensure the dynamic protection and monitoring of green plants as well as help technicians locate the areas of pests and diseases at first time. The implementation of \u201cprevention-first\u201d principle by each institution responsible for plant management and protection targeting the necessary early warning of pests and diseases within all periods can greatly reduce the prevention costs and probability of large-scale pests and diseases . Early wThe intelligent technology-based seedling planting and cultivation shall make full use of the IoT and spatial information integration technologies. The partitional measuring of regional soil quality, hydrological conditions, and microclimate factors at the stage of planting planning provides the definite data basis for breeding and rapid formulation of cultivation schemes. At the same time, a tree full cycle database shall be established for plant tracking and data sorting in the whole process, as well as the records of seedling archives, tree transplantation, and maintenance information. Intelligent cultivation can effectively prevent the challenges faced by the traditional seedling cultivation .Both natural heritage and cultural heritage involve heritage protection and maintenance, including ancient and famous trees and cultural relics. For the ancient and famous trees, the high-definition photos shall be obtained based on the precise coordinate positioning via monitoring and RFID technology in addition to the normal maintenance measures, and mastering relevant detailed information will facilitate the data calling, plant protection, document management, maintenance, and rejuvenation monitoring. Digital modeling based on the growth environment of ancient and famous trees also facilitates the accurate analysis of protection measures Scientific and comprehensive management measures are an important prerequisite for realizing the sustainable development of streetscapes. Quantitative evaluation mechanism is an effective objective to judge the effectiveness of streetscapes.How to effectively integrate various scattered landscape management resources and coordinate various quantitative evaluation parameters to achieve the best match between street landscape management and demand is the key problem. Hence, quantitative data-driven evaluation and control system is ultimately conducive to the continuous optimization of landscape effects.The comprehensive and scientific management shall take account of internal office work, gardening business, street security, and other related factors.Office automation (OA) system can improve the overall efficiency of internal office work, covering process management, e-mail, document management, document circulation, approval management, working calendar, notice announcement, personal information maintenance, conference management, and attendance management.In terms of the gardening business management, video monitoring, RFID, and infrared sensing technologies shall be adopted for the real-time perception of changes in street green resources, infrastructure, and traffic flows, as well as the automatic collection, adjustment, and update of street landscape data. The real-time monitoring of street landscape can achieve precise management and prevention against vandalism and damage caused by natural disasters.Street security cannot be neglected considering the special traffic function of urban street with public spaces. The construction of integrated street control platform makes the daily operation monitoring and emergency command and dispatching possible, providing basic support for navigation and guidance based on the location services of GIS and satellite positioning systems . NowadayThe evaluation of self-diagnosis by intelligent evaluation system aims to provide reference for further development. Moreover, reasonable performance evaluation can not only measure the achievements of street landscape construction and find out the existing problems, but also provide important guidance for the continuous improvement of street landscape intelligent system.Establishment of the complete, scientific, and effective evaluation system shall be based on the existing urban gardening standards, with the relevant street smart landscape indicators integrated into the system by means of spatial layers, forms/tables, document uploading, and image attachments for real-time computing and result judgment/analysis , Table 1How to manage, digitize, and integrate information from scattered roads efficiently and precisely, in order to realize the effective distribution and dynamic overall grasp of the streetscape service capabilities.How to coordinate the relationship between the geographic space, data flow, time distribution, hardware network, and user needs of the streetscape intelligent system, in order to realize the spatial mapping between complex streetscape resources and intelligent system service capabilities .Intelligent technology refers to a specific technology or method used in the construction of an intelligent urban streetscape system. Internet of Things, spatial information integration, virtual reality and visualization technology, digital technology, etc. can solve the following problems in the construction of streetscape system under the condition of urban complex giant system:Emergence of the most representative IoT technology in the intelligent process has led the transformation of information age into an intelligent era. The all-inclusive IoT technology involving radio frequency identification (RFID), infrared sensor, and sensor-laser scanner solves numerous urban problems via interconnection of things after the Internet-based information connection .Spatial information reflects the spatial distribution characteristics of geographic entities, and the spatial information integration technology involving remote sensing (RS), geographic information system (GIS), and global positioning system (GPS) can reflect the topographical features of all sites more concretely and objectively at the macro level and achieve precise quantification and data digitization for in-depth research and analysis .VR technology integrates multiple techniques features in good experience of immersion, interaction, and conception, covering the real-time 3D computer graphics, 3D wide-angle (wide-field) display, tracking of the viewer's head/eyes/hands, tactile/force feedback, stereo effects, network transmission, and voice input/output .The basic process of digitization involves the transformation of all complex and changeable information into measurable data, digital data modeling for binary code conversion, and input into the computer for unified processing . At presTo achieve the successful construction of street landscape intelligent systems, the mutual mapping of complex system and complex network of street landscape needs to be realized. Therefore, the above intelligent means must be implemented combined with the actual stages of street landscape construction in practice.The early stage of planning and design provides direct guidance for the mid-term construction and post-management of landscape construction. The application of intelligent means such as the Internet of Things, virtual reality, and visualization technology at the planning and design stage can realize more scientific and rational street landscape design.In terms of on-site investigation, the traditional investigation methods have large workload and large error, and most of them are completed on the basis of on-site inspection and surveying and mapping, combined with the existing data. In addition, the traditional street design focusing on-site plane lacks the 3D-space and humanized thinking in terms of vertical design, construction scale, and detailed design. On the contrary, the intelligent landscape construction can realize the targeted integration of IoT and spatial information technologies into the site survey, with the precise positioning of street location and surrounding land uses utilizing the IoT sensing nodes ; moreoveThe construction quality directly affects the smooth implementation of the preliminary design and the cost of later maintenance and management. Due to the problems of inaccurate calculation of quantities, unconstrained construction, and limited professional quality of most construction personnel in traditional garden construction, there are often some deficiencies in construction quality compared with the expected effect.The intelligent street landscape construction can ensure the rational resource allocation and construction efficiency through the in-depth survey of on-site environmental factors using the sensing and RFID systems of IoT technology and the corresponding construction schemes and regulations. The application of spatial information integration technology and sensing system makes precise and rapid data positioning based on construction drawings possible at the stage of fixed point setting-out. The multispace model using VR technology enables the construction personnel to understand the design intention in an intuitive manner during construction, thus ensuring the realization of design effects. The application of IoT sensing system upon project acceptance for data measurement and quantitative analysis of engineering effects, combined with the direct data transmission to the auditor's mobile devices using mobile Internet technology, guarantee the strict project acceptance , Figure Conservation management can maintain and guarantee the landscape effects after gardening construction. The traditional plant cultivation and conservation have certain shortcomings, e.g., unsatisfactory professional quality of management personnel and conservation measures of low technical contents.The intelligent plant cultivation and conservation integrating IoT technology ensure the effective improvement of conservation efficiency and effects with reduced cost. In order to make proper use of local conditions, the sensors shall be used to measure environmental factors at the cultivation stage, and the original manual sprinkling shall be replaced by the sprinkling/drip irrigation system with time-frequency sensors to detect the soil moisture and facilitate the intelligent control . In termApplying intelligent means in urban street landscape design and integrating street landscape intelligent system into smart city construction can actively promote urban development. Procedures starting from scheme design and project construction to maintenance management, technology introduction, and formulation of comprehensive and effective strategies are the key to the successful construction of street landscape intelligent system based on complex network. In addition, the construction of street landscape intelligent system also provides a platform for public participation and governance. The public can easily and quickly obtain information through such intelligent systems and use improved consultation/complaint services to give timely feedback to managers, which indicates that public participation has been significantly improved , 38, 39."}
+{"text": "Cancers, experts in this field will review the current approaches for diagnosing and managing patients with the spectrum of GI cancers, and suggest innovative solutions fit for the diagnosis and the management of these cancers in light of the new challenges and abundance of innovations [Gastrointestinal (GI) cancers remain high on the list of the leading causes of death worldwide; however, the recent emergence of new and ongoing global healthcare threats, such as the COVID-19 pandemic, has led to a temporary reduction in elective endoscopic procedures . InnovatThe SI is a showcase of a fine collection of articles that underpin the continuing research and innovation approaches in GI endoscopy. In the Global Burden, Risk Factors, and Trends of Esophageal Cancer : An AnalIn another paper of this SI, Verra et al. present their work on a robotic-assisted colonoscopy platform with a magnetically actuated soft-tethered capsule . Almost The SI is not short of high-quality reviews in the field of GI endoscopy. Finocchiaro et al. provide their elaborate and highly pictorial revision on the current and future perspectives in training simulators for GI Endoscopy . ConventA high-quality negative screening colonoscopy was related to diminished CRC incidence and mortality for up to 17.4 years . HoweverAlso, in this SI, Marlicz et al. aimed at providing a timely review of robotic gastroscopes and related technologies supporting professional skills in clinical practice . Authors"}
+{"text": "A substantial scientific advance has recently been made in the elucidation of the molecular mechanism by which unusually folded, self-associating tau proteins drive the neuropathology of several common types of human neurodegenerative disease. This group consists of about ~25 different, invariably lethal age-related tauopathies that include prominently, Alzheimer's disease (AD), argyrophilic grain disease (AGD), chronic traumatic encephalopathy (CTE), corticobasal degeneration (CBD), Parkinson's disease (PD), Pick's disease (PiD), and progressive supranuclear palsy (PSP) as well as familial British dementia, familial Danish dementia, primary age-related tauopathy, and several other more rare tauopathies. Normally neuron-abundant microtubule-associated protein tau (MAPT) proteins are involved in the organization and stabilization of the internal microtubule system of brain cells and are involved in the maintenance of overall neuronal shape, cytoarchitecture, and synaptic organization. Each of the tauopathies are defined by the progressive accumulation in the brain of MAPT proteins as complex, multi-component fibrillar aggregates, and their incidence and prevalence correlate strongly with the degree of dementia , The Brown Foundation, Joe and Dorothy Dorsett Innovation in Science Healthy Aging Award; the Louisiana Biotechnology Research Network (LBRN) and NIH grants NEI EY006311, NIA AG18031, and NIA AG038834 (WJL).The author declares that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest.All claims expressed in this article are solely those of the authors and do not necessarily represent those of their affiliated organizations, or those of the publisher, the editors and the reviewers. Any product that may be evaluated in this article, or claim that may be made by its manufacturer, is not guaranteed or endorsed by the publisher."}
+{"text": "The majority of nursing home (NH) residents have Alzheimer\u2019s Disease or Related Dementias (ADRD). However, the association of ADRD prevalence and NH quality is unclear. The objective of the current study is to understand the association of NH characteristics, including the proportion of ADRD residents, with the prevalence of NH complaints as an indicator of quality of care and quality of life. We merged data from the ASPEN Complaints/Incident Tracking System with national NH data from the Certification and Survey Provider Enhanced Reports, the Minimum Data Set, the Area Health Resource File, and zip-code level rural-urban codes in 2017. Three groups of NHs were created, including those whose proportion of residents with ADRD was in the top decile ) and those whose proportion of ADRD residents was in the lowest decile ). Bivariate results revealed high-ADRD NHs had higher percentages of Medicaid-paying residents, were less likely to be for-profit and chain-affiliated, had lower staffing hours and lower percentages of Black, Hispanic, and Asian residents. Using NHs in the middle deciles as reference, negative binomial regression models showed that having a low proportion of ADRD residents was significantly associated with higher numbers of total complaints (p<.001) and substantiated complaints (p<.001), whereas having a high proportion of ADRD residents was significantly associated with lower numbers of substantiated complaints (p=.001). The findings suggest the proportion of residents with ADRD in NHs is associated with quality, as measured by complaints. Policy implications of these findings will be discussed."}
+{"text": "The present review summarizes the data on the cerebellar dopaminergic system including its involvement in associative and projective circuits. Furthermore, this study also briefly discusses the role of the cerebellar dopaminergic system in some neurologic and psychiatric disorders and suggests its potential involvement as a target in pharmacologic and non-pharmacologic treatments.In the central nervous system (CNS), dopamine (DA) is involved in motor and cognitive functions. Although the cerebellum is not been considered an elective dopaminergic region, studies attributed to it a critical role in dopamine deficit-related neurological and psychiatric disorders . Data on the cerebellar dopaminergic neuronal system are still lacking. Nevertheless, biochemical studies detected in the mammalians cerebellum high dopamine levels, while chemical neuroanatomy studies revealed the presence of midbrain dopaminergic afferents to the cerebellum as well as wide distribution of the dopaminergic receptor subtypes (DRD In the mammalian cerebellum, the neurotransmitter systems traditionally involved in the synaptic and extrasynaptic interactions may include the excitatory glutamatergic system and noradrenaline (NA); as a result, until now, the functional role of dopamine (DA) in the cerebellum has been widely disregarded.In studies using histofluorescence , mainly by means of the serotonergic receptors 5-HT2+ elevation , which can regulate the threshold of regenerative cycles of Ca2 adrenergic subtype receptor revealed a significant presence of selective dopamine transporter ligands (DAT-Ls) , the synaptic vesicles transporter of monoamine neurotransmitters such as DA, NA, 5-HT, and histamine (HIS) makes use of direct antisera against DA and of -DA in the contralateral caudate nucleus and decreasing such release in the ipsilateral caudate nucleus. Moreover, the electrical stimulation of the fastigial nucleus increased only the release of [3H]-DA in the ipsilateral caudate nucleus , Milardi et al. carried The interconnection studies conducted with invasive methods in non-human mammals, and the analyses carried out in humans by means of tractographic neuroimaging methods highlight the presence of relevant interconnections of the cerebellum with the traditional dopaminergic areas of the brain. Moreover, this may likely suggest double direct functional DA interactions between the cerebellar dopaminergic system described in this review and the traditional DA cell groups system of the CNS . In addiThough several studies suggested an involvement of the cerebellum in dopaminergic related neurologic and psychiatric disorders as PD has been found animal model, increases in the DA level and its metabolites in the anterior cerebellum and as well as a decrease in the caudate-putamen have been detected during PD remains unclear , and VMAT2 produced downstream changes in neuronal activity in the frontal cortex (Schutter et al., 8-A10; Ikai et al., The present review extensively evidenced the available morphological, chemical, and functional data on the existence of a cerebellar dopaminergic system in mammals including humans, which consist of extrinsic fibers which originate mainly from the midbrain cerebellar dopaminergic nuclei (AIn addition, this review evidenced the presence of direct dentate-SNpc and dentate-VTA interconnections (Milardi et al., Finally, we suggest that the cerebellar dopaminergic system and its interconnections may represent an ideal candidate for innovative non-invasive treatments such as electrical or magnetic stimulations in neurological and psychiatric disorders (Demirtas-Tatlidede et al., PF designed the study, performed the experiments and the analysis of the experimental data, and participated in the writing of the manuscript. PL and DG shared the study project and participated in the writing of the manuscript. GB, ABi, SBe, JB, SBi, and ABr participated in the writing of the manuscript. GG, MG, and GA performed the analysis of the experimental data, participated in the writing of the manuscript. All authors contributed to the article and approved the submitted version.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest.All claims expressed in this article are solely those of the authors and do not necessarily represent those of their affiliated organizations, or those of the publisher, the editors and the reviewers. Any product that may be evaluated in this article, or claim that may be made by its manufacturer, is not guaranteed or endorsed by the publisher."}
+{"text": "With the increasing number of people with neurodegenerative disease world-wide, novel directions and paradigms are sought to understand disease-specific neuronal death and to offer novel therapeutic strategies to patients. The ability to transform a differentiated cell into a pluripotent state and to differentiate again to a defined target cell type , identifying the limitations of these approaches, including the variable genetic backgrounds, off-target effects of genetic corrections or targeting, the lacking cellular maturity, and the heterogeneity of differentiation techniques. This latter point is further detailed by Ghaffari et al. whom provide an impressive deep-dive into the different means of differentiation of specific neuronal and glial subtypes in detail, and compare and contrast IPSCs and direct conversion. Despite these challenges, the use of patient-derived tissue is strongly recommended in disease-modeling and preclinical ALS studies for drug discovery and development .In the context of ALS and Frontal Temporal Dementia (FTD), Guo et al. summarize the disease-specific phenotypes in patient-derived IPSC-derived neurons and the variability between reports . The importance of how a gene may cause disease and whether that mechanism remains present in iPSC-derived neurons is also of relevance in the context of the regulation of the gene SNCA, encoding for the protein alpha-synuclein, in Parkinson's Disease . Piper et al. describe in-depth the different ways SNCA may genetically cause disease, as well as how SCNA may be regulated. The authors stress the importance of the understanding of temporal and cell type-specific regulation of SNCA in disease, and in disease-models .With the epigenetic markers of cellular maturity lost when cells are converted to iPSCs , this Research Topic's contributions span the increased understanding of pathophysiology, testing of novel therapeutics, and the transplantation of cells as a potential therapeutic.Naphade et al.). They found that MMPs' endogenous inhibitors are decreased in HD cells and are elevated by TGFb treatment , illustrating a potential new direction for HD therapeutic strategies. Rindt et al. used a similar technique to assess the potential of the pre-mRNA repair of mutant Huntingtin, and also identified a beneficial response in HD-derived IPSC neural models . Subsequnetly, Masnata and Cicchetti describe the evidence for seeding of the Huntingtin protein in in vitro cultures of HD, including by IPSC disease modeling, and find sufficient evidence to suggest that this occurs, prompting the conclusion that in vivo assessment is now needed to further assess this (Masnata and Cicchetti). Al-Gharaibeh et al. transplanted IPSC-derived neural stem cells as a potential therapeutic into the striata of aged HD model mice (YAC128) and observed a striking protective effect on pathology and behavior in these animals , indicating the potential for neuronal replacement therapy in HD.Naphade et al. used patient-derived, isogenic, and control-corrected IPSCs to generate neural stem cells to assess the role of matrix metalloproteinases (MMPs) and their inhibitors in HD . They delineate what constitutes an iNeuron, describe the benefits of each stage of differentiation per neurological disease, discuss whether generating subtype-specific iNeurons is critical to the disease-related features of these cells, and subsequently explain the biomedical potential and limitations of the use of these cells . In addition, Omais et al. summarize an alternative potential cells to model neurodegenerative disease; adult neurogenesis in the olfactory bulb .To understand the potential and limitations of the use of non-primary neurons, Drouin-Ouellet et al. summarize the use of inducible neurons (iNeurons), which are derived from direct differentiation from somatic cells (Han et al. Open Science refers to the transparency of the research and is illustrated by Open Lab Notebooks Durcan, and the sharing of resources, including patient-derived stem cell lines (Gan-Or et al., To accelerate the discovery and development of novel therapeutic strategies for patients, the Montreal Neurological Institute has adopted an \u201cOpen Science\u201d model, as described by The author confirms being the sole contributor of this work and has approved it for publication.KS is employed by company Staats Life Sciences Consulting, LLC."}
+{"text": "Ecological science focuses on the structure and function of the natural environment. However, the study of ecological environments primarily focuses on single-element research and lacks a comprehensive perspective. To examine ecological environmental trends on different scales, the present paper selected Yunnan Province as the study area. Chemical oxygen demand, rocky desertification, forest coverage, natural disaster data and spatial analysis methods were used to obtain the ecological environmental characteristics of each county and construct a comprehensive evaluation method of the ecological environment. The present paper revealed that the environmental capacity in Yunnan Province was at a moderate level, the ecological environment fragility was remarkable, the significance of the ecological environment was very high, natural disasters occurred frequently, and spatial differentiation between ecological environments was obvious. The province may be divided into three functional areas: the comprehensive-balanced area, the efficiency-dominated area and the environment-dominated area. Central Yunnan was a key development zone and the main area for the manufacturing and service industries, which were built as a modern industrial system in Yunnan Province. The ecological environment in northwestern Yunnan and southern Yunnan is of high significance, and this region was an ecological environment protection area that was important area for the construction of the modern agricultural system in Yunnan Province. To achieve sustainable development of the ecological environment, the spatial characteristics of the ecological environment must be determined at the county scale. The development of the world economy has exacerbated problems with the ecological environment since the 1990s. Scholars believe that the cost to the ecological environment of achieving economic growth is increasing, which has led to serious deterioration of the ecological environment that continues to intensify. The ecological environment has become a focus of political and academic concerns. Considerable ecological environment research was performed in the last 30 years, and this field has grown rapidly in the last 20 years. Research results are primarily published in journals, dissertations, conference papers and monographs. Research on the ecological environment is systemic and represents an important basis for the development of sustainable resource utilization, economic and social planning and ecological environment protection.Research on the ecological environment primarily focuses on analyses of the water environment, atmospheric environment, soil environment, engineering technology, environmental protection technology, policy guidance, and industry technical guidance and determining solutions to typical regional ecological environment issues . Many reIt is evident that recent developments in the geotechnologies of GIS and remote sensing have had a substantial impact on ecological environment research in the second decade of the 21st century and provided spatial data and associated information to enable further understanding of ecological systems . Remote Remote sensing and GIS have ensured their continuing input and significance in the field of ecological environments . SatelliResearch indicated significant spatiotemporal heterogeneity between economic development and the ecological environment . EcologiWater environmental capacity is defined as the maximum amount of pollutants that a water body can hold and still meet water quality standards , 59. WatResearch on the fragility of the ecological environment began in the 1960s. Research on ecological fragility has been a hot topic ever since 2000, and there were more empirical studies than theoretical studies. Studies in the early period used the city as the data unit. After 2000, a boom of theoretical reviews and initial signs of comprehensive research appeared, and the Grid GIS came into being. In response to requests from governments to show how the environment provides challenges and opportunities for human development, Global Environmental Outlook: Environment for Development gave the concept of vulnerability a central place. Vulnerability is the outcome of multiple stressors and multiple actors in multiple contexts that may occur at various spatial and time scales . Eco-envThe ecological importance showed spatial heterogeneities across and within the regions. Protected area zoning has become an effective tool in recent decades to divide regions into different zones with different protection and development strategies, and it has considerably contributed to biodiversity conservation and the harmonious coexistence of multiple activities . For theThe study of ecological risk assessment started in the 1970s. Ecological risk assessment is a powerful tool for quantifying ecological risk. Ecological risk assessment calculates the possible ecological damage arising from exposure to one or more pollution components . PresentResearch results on the ecological environment are not uncommon. However, this research is basically performed in a specific area and specific year. Therefore, the results reflect only the basic situation of the local area in that year and primarily focus on the study of a single element of the ecological environment. These studies are static. Therefore, the temporal and spatial changes in the ecological environment are difficult to identify. The present paper selected Yunnan Province as the research area to perform a spatial analysis of the ecological environment. The geographical environment of Yunnan Province is highly fragmented, and a single-element evaluation cannot provide a comprehensive explanation of the spatial differentiation characteristics of the environment. In light of the current status of research focusing on a single element of the ecological environment, such as environmental capacity, which can identify the water quality and water pollution status of an area, fragility reflects the sensitivity of the regional ecological environment to the outside world. Significance identifies locations for ecological environment protection, and hazards provide early warnings for earthquake prevention and disaster reduction. The present paper used Yunnan Province as the spatial scale. Focusing on ecological environment theory, this paper constructs a comprehensive evaluation system of the ecological environment and explores the spatial differentiation characteristics of the ecological environment in Yunnan Province to provide a spatial and practical basis for ecological environment research.This paper combines environmental capacity, fragility, significance, hazards and GIS and innovatively proposes a comprehensive research method. Section 2 shows the calculation process for the comprehensive research method. Section 3 presents the application of this method in the study of the ecological environment in Yunnan Province. Section 4 provides suggestions for the sustainable development of the ecological environment in Yunnan Province. Section 5 presents the conclusion.2, the area of Yunnan Province accounts for approximately 4.11% of the area of China, and mountain areas account for more than 84% of the total area of Yunnan. The total population was 48.3 million in 2018, which accounted for approximately 3.46% of the country. The population density was 121.8 people/km2, and the GDP was 1,788,112 million yuan, which accounted for approximately 2% of the GDP of China. Yunnan Province is located in the Chinese frontier area and has the second largest forest area in China. It is an important area for maintaining the stability of the overall ecological environment of China. The forests in this area are mostly distributed in the source area of the river system and the upper and middle reaches of the river basin. The quantity, quality and distribution of the forest are closely related to the ecological environment of a partial area or the entire river basin. The concentrated distribution areas of forests represent the last habitats of the main wild animal and plant resources in Yunnan. As a typical representative border region in China, the supporting capacity of the ecological environment has changed significantly with the development of the economy in mountainous areas, and regulating the deterioration of the ecological environment foundation has become increasingly difficult. Future prospects are not optimistic. Ecological environmental protection has significant benefits in the contemporary era and for future generations. As a source of large rivers in southwestern China, Yunnan Province should place greater emphasis on the ecological environment. Therefore, the maintenance function and social value of the ecological environment in Yunnan Province are far greater than the economic value of these environments. Environmental protection and development in this area must be considered from the perspective of ecological security of the entire river basin and country and the sustainable development of the social economy.As shown in Major Function-Oriented Zone Planning in Yunnan Province (http://www.yn.gov.cn/zwgk/). The soil erosion and rocky desertification data were obtained from the Report on the State of Yunnan Provincial Environment (http://sthjt.yn.gov.cn/hjzl/). The ecological protection data were obtained from the List of Natural Reserves in Yunnan Province (http://sthjt.yn.gov.cn/zrst/). The earthquake and debris flow data were obtained from the Yearbook of Disaster Reduction in Yunnan Province (http://yndzj.gov.cn/yndzj/sy1/index.html), Yunnan Earthquake Prevention and Disaster Reduction Bureau, Department of Ecology and Environment of Yunnan Province. Relevant data were standardized.Chemical oxygen demand (COD) and ammonia nitrogen capacity data for rivers were obtained from the Humans are the main body in the ecological environment, and other living creatures and nonliving objects are a complex of environmental elements . Traditional single-element assessment methods for the ecological environment focus more on analyzing the spatial and temporal distribution characteristics of a single element. Under diversified social development, ecological environment research has obvious comprehensive and holistic characteristics, and the interaction between basic elements of the ecological environment and their associated influence is becoming increasingly obvious. Combined with the objective requirements of developing scientific concepts, ecological environment research aims to overcome the limitations of traditional single-element assessment methods. This paper innovatively constructs a multielement comprehensive evaluation method and emphasizes the possibility of coordinating the balance of the internal system with the external environment.According to the special geographical environment of Yunnan Province, the following comprehensive evaluation system model of the ecological environment is proposed:L) = environmental capacity index (E)+fragility index (Y)+significance index (P)+hazard index (DH).Comprehensive evaluation index system of the ecological environment ((1) Water environmental capacity index system. Japanese scholars proposed the concept of environmental capacity, and the term is rarely used by European and American scholars. Chinese research on environmental capacity began in the 1970s. Environmental capacity is the maximum load of pollutants that the environmental system can accommodate within a certain time frame, and it is the upper limit of the carrying capacity according to the resource and environmental conditions at the development scale. This paper calculated the water environmental capacity using COD and ammonia nitrogen data for the river section at the county level in Yunnan.Ecod is the environmental capacity of COD (t/a), Ccod is the concentration of COD (mg/L), qcod is the amount of COD flowing into the river (t/a), En is the environmental capacity of ammonia nitrogen (t/a), Cn is the NH3-N concentration (mg/L), qn is the amount of NH3-N flow into the river (t/a), Q is the average water volume (t/a), and \u03b1 is the water resource utilization coefficient, which has a value of 0.4.(2) Fragility index system. Scholars determined that sensitivity and instability were the most important characteristics of ecologically fragile areas. The fragility of the ecological environment means that the ecological environment is affected by external interference and factors beyond its own adjustment range. Therefore, the ecological environment shows varying degrees of sensitivity to external interference. The ecological environmental fragility coefficient of Yunnan Province was calculated using the following formula:Y is the ecological environment fragility coefficient, Pi is the dimensionless value of the i-th index, and Wi is the weight value of the i-th index.(3) Significance index system. Ecological significance is an evaluation index for dividing restricted and prohibited development zones within the main functional zone of the province. Many scholars evaluated the importance of ecosystems by analyzing their composition and quantitative service value within a certain national space. Based on the area of nature reserves above the provincial level, this paper calculated the proportion of ecologically important areas in each county.Pi is the ratio of the assessment of regional biodiversity protection areas and ecologically important areas, Ni is the area of an important ecological environment, and Ti is the total area of the region.(4) Hazard index system. The single-element evaluation of natural disaster risk is thorough, and the method of risk assessment shifted from qualitative analysis to comprehensive quantitative evaluations that combine natural and social science. This paper used Graham\u2019s method to evaluate natural disasters.Di is the single-element risk index of natural disasters, Li is the average probability of occurrence of disasters, Ei is the time of recipient affected by the disasters, and Ci is the possible loss caused by disasters.\u03bb is the disaster index weight, and Di is the disaster risk index.(5) Comprehensive ecological environment evaluation index system. Using 124 counties as the basic geographical unit, a comprehensive value measurement algorithm was adopted after standardizing the water environmental capacity index (E), fragility index (Y), importance index (P) and hazard index (DH). The score range of each indicator was no more than 10.Ki is the index weight, and Ai is the index score.https://desktop.arcgis.com/zh-cn/) data show that the water environmental capacity in Yunnan may be divided into 5 levels, which are shown in Based on the minimum value of the remaining amounts of COD and NH3-N in the river section of each county in Yunnan, the results of the study showed that the ecological environment capacity was moderate in Yunnan Province, with 91 counties above the moderate level and 33 counties below the low level. Using the natural classification method, the results using Arcview Hazardous area: Gengma, Midu, Yao\u2019an and Ludian, with an area of 8,730 km2, which accounted for 2.24% of the total area. Earthquake disasters and landslides and debris flows occurred in Gengma and Midu. The earthquake disasters in Yao\u2019an and Ludian were very obvious in recent years. (3) Generally hazardous area: Yuxi, Chuxiong, Zhaotong(except Ludian), Honghe, Pu\u2019er, Baoshan, Lincang, Dehong, Dali, Lijiang and partial areas of Diqing, covering an area of 142,397 km2, which accounted for approximately 36.51% of the total area. Earthquakes and debris flows occur in Zhaotong. Landslides and debris flows are seen frequently in Honghe, and earthquake disasters often occur in western Yunnan Province.As seen in As shown in Comprehensive-balanced area: Baoshan, Xishuangbanna, Qujing, Nujiang, Pu\u2019er and Lincang. The natural geographical environment in these areas was good, and the ecological benefits and the environmental quality were relatively balanced. With a water environmental capacity of more than 6500 (t/a), Nujiang, Pu\u2019er and Lincang are rich in water resources and have a high water environment capacity. Baoshan and Xishuangbanna have abundant biodiversity and higher stability of surface vegetation, and the ecologically important regions account for 21.04% and 13.62% of the whole area, respectively, which indicates that these cities have the highest ecological significance.Efficiency-dominated area: distributed in the central Yunnan urban agglomerations, including Kunming, Qujing, Yuxi and Chuxiong. This type of area had the most developed economy, high resource utilization efficiency, relatively high technical level, good cultural environment, and ecological benefits that exceeded the environmental quality. Economic development created pressure on the ecological environment. Kunming (with a GDP of 520.69 billion yuan), Qu Jing (with a GDP of 201.34 billion yuan), Yuxi (with a GDP of 149.30 billion yuan) and Chuxiong (with a GDP of 102.43 billion yuan) are economically developed regions in Yunnan Province, and the economies of these cities ranked first, second, fourth and sixth in Yunnan in 2018, respectively. Kunming, Qujing, Yuxi and Chuxiong are neighboring areas, and these cities form the central Yunnan urban agglomeration. The GDP of the central Yunnan urban agglomeration accounted for 54.46% of the GDP of Yunnan Province, which made it the economic growth pole of Southwest China. The ecologies of Kunming, Qujing, Yuxi and Chuxiong showed limited fragility and strong resistance to external interference. The rapid development of urbanization and industrialization led to a backward environmental quality. The water environmental capacities of Chuxiong and Yuxi were relatively low. The water environment capacity of the Dianchi Lake Basin in Kunming is extremely low. Therefore, maintaining ecological benefits and improving environmental quality are key points for constructing ecological civilizations in Kunming, Qujing, Yuxi and Chuxiong.Environmentally dominated areas primarily included Wenshan, Dehong, Lijiang, Diqing, Honghe, Dali and Zhaotong. With good natural environmental quality, the sustainable development of these cities was dominated by environmental quality, moderate natural resource utilization rates, and low ecological benefits. The energy consumption per 10,000 yuan of GDP in these areas was not high, the proportion of the secondary industry was low, the proportion of the primary and tertiary industries was large, the GDP per capita was low, and the utilization rate of ecological resources was insufficient. These areas have many biodiversity-protected areas, and the ecological environment was important. The water environmental capacity was greater than 3500 t/a, the ecology was moderately fragile, and vegetation recovery was difficult, as shown in From the perspective of the overall ecological environment, the ecological environment foundation of Yunnan Province was relatively good. However, due to the complexity of the mountainous geographical environment, challenges remain in improving the ecological environment of certain areas. An evaluation of the four indicators of environmental capacity, ecological fragility, ecological importance and natural disaster hazard indicated obvious spatial differences, with the ecological environment in the northwest and southwest areas of Yunnan Province being relatively good and the northeast and central areas of Yunnan relatively weak.Ecological science is the study of the structure and function of the natural environment. The present paper used the relevant principles of ecology to address the current situation of single-element research on the ecological environment, constructed a comprehensive evaluation method of the ecological environment from the perspective of system theory, focused on the prefectural scale, and examined the ecological environment and spatial differentiation characteristics of Yunnan Province. This research has certain theoretical significance and provides a theoretical perspective and practical basis for the construction of ecological civilization space in Yunnan Province. Based on the overall ecological environment, the ecological environment foundation of Yunnan Province was relatively good. However, the geographical environments of mountainous areas are very complex. The environmental capacity, ecological environmental fragility, ecological environmental importance and natural disaster hazards indicators were evaluated, and we found obvious spatial differences, with the ecological environment in the northwestern and southwestern regions of Yunnan being relatively good and that the northeastern and central regions of Yunnan Province being relatively weak.This study found that Yunnan had a moderate environmental capacity, a relatively fragile ecological environment, high ecological environment importance, and frequent natural disasters. The ecological environment had obvious spatial differences, which were divided into three functional areas: comprehensive-balanced area, efficiency-dominated area, and environment-dominated area. Ecological environmental research provides an important basis for the formulation of sustainable economic and social development plans and ecological environmental protection countermeasures. Although the ecological environment was mildly fragile in central Yunnan, this area is a key development zone and the main area for the manufacturing and service industries, which were built as a modern industrial system in Yunnan Province. The ecological environment in northwestern and southern Yunnan is of high significance, and this region is an ecological environment protection area and an important area for the construction of the modern agricultural system in Yunnan Province. According to the environmental capacity, the water quality of Shangri-La, Jingdong, Yongshan, Qiaojia, Tengchong, Baoshan, Dali, Lincang and Pu\u2019er was good and the water pollution in Kunming Dianchi Lake was serious. According to the environmental fragility analysis, the ecological environments of Deqin, Shangri-La, Weixi, Weixin, Zhenkang, Gengma, Mojiang, Honghe, Hekou, Maguan, Wenshan, Malipo, Xichou, Qiubei, Guangnan and Luoping were most obviously affected by external influences. According to the significance analysis, the key areas of ecological environment protection in Yunnan Province included Deqin, Shangri-La, Weixi, Gongshan, Ninglang, Yuanmou, Tengchong, Zhenkang, Yongde, Cangyuan, Jinghong, Mengla, Honghe, Hekou, Luquan, and Funing. These locations had the most ecological environmental protection zones. The hazard analysis identified areas with frequent natural disasters and hidden hazards in Yunnan Province. For example, mudslides were more likely to occur in Dongchuan and earthquakes were more likely to occur in Ludian and Yao\u2019an. Ludian experienced an earthquake in 2014, and Yao\u2019an experienced an earthquake in 2009. Hazard research results have important reference value as disaster warnings.As a hot research field, the ecological environment has obvious comprehensive and systematic characteristics. A comprehensive evaluation system for the ecological environment was constructed as an exploratory research method, and it showed regional characteristics. Particular emphasis should be placed on the selection of indicators for different research spaces in the future.A number of methods are used in environment-dominated areas, including a new round of ecological civilization construction plans, the construction and improvement of a dynamic monitoring network for vegetation coverage, strict implementation of forestland reserves, promotion of forest planting and grassland planting, and scientific development of aboveground and belowground spaces to realize potential land uses and increase surface vegetation coverage. Wenshan, Dehong, Lijiang, Diqing, Honghe, Dali and Zhaotong could gradually improve the level of ecological benefits by enhancing the level of technology and management and increasing the utilization rate of ecological resources.From the perspective of ecological environmental protection, the comprehensive-balanced area could set goals for sustainable economic and social development. Qujing should actively develop its light industry and service industry to prevent hidden dangers caused by the rapid development of highly energy-consuming industries. Baoshan, Xishuangbanna, Nujiang, Pu\u2019er and Lincang could earnestly implement the target responsibility system and accountability system of environmental protection and actively perform paid use of pollution discharge rights and trading pilots. This work would emphasize that the development and protection of the comprehensive-balanced area should work together to improve environmental quality and capacity.The resource-environment dependence path of economic development in efficiency-dominated areas is obvious, and the carrying capacity of the ecological environment hinders the speed of economic and social development. By promoting economic and social development transformation through \"reform\", Kunming, Yuxi, and Chuxiong are capable of breaking through the restriction of the ecological environment on economic and social development to change the traditional resource-dependent development model and transfer the mode of production to promote economic transition and realize the transformation of economic and social development and the ecological environment from \"investment\" to \"reform\".The comprehensive-balanced area, efficiency-dominated area and environment-dominated area should thoroughly implement sustainable development, fully promote law-based governance of the ecological environment, adhere to promoting environmental development, strengthen efforts to promote the ecological environment legal system, and create a good social atmosphere for protecting the ecological environment. The monitoring function of grassroots environmental protection organizations should be supported to provide guarantees for the sustainable utilization of the ecological environment.S1 Data(RAR)Click here for additional data file."}
+{"text": "Over the past 60 years, evidence has accumulated on the fundamental role of supportive social relationships in individual health and longevity. This paper first summarizes the results of 23 meta-analyses published between 1994 and 2021, which include 1,187 longitudinal and cross-sectional studies with more than 1,458 million participants. The effect sizes reported in these meta-analyses are highly consistent with regard to the predicted link between social support and reduced disease and mortality; the meta-analyses also highlight various theoretical and methodological issues concerning the multi-dimensionality of the social support concept and its measurements, and the need to control potential confounding and moderator variables. This is followed by an analysis of the experimental evidence from laboratory studies on psychobiological mechanisms that may explain the effect of social support on health and longevity. The stress-buffering hypothesis is examined and extended to incorporate recent findings on the inhibitory effect of social support figures on fear learning and defensive reactions alongside evidence on the effect of social support on brain networks that down-regulate the autonomic nervous system, HPA axis, and immune system. Finally, the paper discusses the findings in the context of three emerging research areas that are helping to advance and consolidate the relevance of social factors for human health and longevity: (a) convergent evidence on the effects of social support and adversity in other social mammals, (b) longitudinal studies on the impact of social support and adversity across each stage of the human lifespan, and (c) studies that extend the social support framework from individual to community and societal levels, drawing implications for large-scale intervention policies to promote the culture of social support. Evolutionary biologists did not anticipate the continuing rise in life expectancy in high-income countries they are cared for and loved, (b) they are esteemed and valued, and/or (c) they belong to a network of communication and mutual obligation. Both Cobb and Cassel considered that social support protects people by buffering the health consequences of life stresses.In 1976, two seminal reviews were published on the concept of social support and its effects on health and mortality .Two electronic databases (Scopus and Web of Science) were searched for meta-analysis studies using the following combination of terms: and . The electronic searches were restricted to studies published in English with adolescent or adult human participants. They had to include at least one measure of social support as independent variable and at least one outcome measure of longevity/mortality/health/disease as dependent variable. Additional complementary search strategies were used by checking cross-references between the meta-analyses and relevant systematic reviews.A total of 23 meta-analyses published between 1994 and 2021 complied with the inclusion criteria. They were checked to ensure that they followed the PRISMA protocol and that the final list of primary studies across the 23 meta-analyses did not include duplicate studies or participants. The 23 meta-analyses covered 1,187 non-duplicate primary studies with more than 1,478 million participants. Six meta-analyses used correlation as effect size measure, and the remaining 17 used proportion ratios . In the six meta-analyses with effect sizes based on correlation see , the outThe 23 meta-analyses displayed in the three tables obtained highly consistent results, with significant effect sizes confirming the association between social support and individual health/longevity (regardless of the type of outcome measure). However, as also observed in these tables, the strength of the association depends on numerous factors, including type of effect size, type of outcome, type of social support, and type of moderator variable. In this section, the results are discussed in relation to the type of effect size and type of outcome. The impact of the social support measures and moderator variables are discussed in the following two sections.strong, consistently positive relationships between social support and health outcome measures. They stressed the need for further refinement of social support measures in future research. It is also noteworthy that the most recently published meta-analysis also used correlation as effect size measure across five continents, used functional and structural measures of social support, analyzed multiple moderator variables, and obtained markedly higher effect sizes .The six meta-analyses in The 10 meta-analyses in post-partum depression , and the heterogeneity of effect sizes for primary studies, weakening, or extinguishing the strength of a true association. However, both problems can be addressed and evaluated by applying meta-analysis methodology.Examination of the social support measures listed in the three tables illustrates the conceptual and methodological diversity described in the Introduction. Twenty-six different social support measures are reported, including: quantitative and qualitative social support; received and perceived social support; enacted social support; network social support; material, informational, and emotional social support; social engagement; and social integration. Only two of these meta-analyses used the recommended functional-structural classification , six structural measures , and a combination of both types of measure. Among the structural measures, the complex measure of social integration was the most highly predictive of the mortality risk, with an effect size of 1.91, whereas living alone was the least predictive, with an effect size of 1.19. Among the functional measures, perceived social support and loneliness were the most predictive measures, with effect sizes of 1.35 and 1.45, respectively, whereas received social support did not even reach statistical significance.The relevance of perceived social support as a predictor of health and longevity is confirmed in five additional meta-analyses in In general, these data show that the measures that best reflect the multidimensionality of the social support concept are the most accurate predictors of a reduced risk of disease and mortality.Correlational studies are based on a non-randomized selection of participants. Evidently, people cannot be randomly assigned to groups for social isolation or divorce. In both cross-sectional and longitudinal studies, the non-randomized selection of participants involves the presence of third variables that can make the association spurious. It is well-known that age, socio-economic status, or physical and mental health at the initial evaluation can influence health status and longevity. Age is by far the most important risk factor for many chronic diseases and disabilities or substantive . In meta-analyses, the influence of these variables is evaluated and controlled by means of sub-group analysis and meta-regression. Overall effect sizes are usually adjusted for the influence of these variables (covariates) or reported separately for specific sub-groups of interest. The evidence provided by the 23 meta-analyses remains consistent after controlling for confounders and mediators, thereby conferring convergent validity to the predictive role played by supportive social relationships in health and longevity. However, while confounding variables may reverse the causal pathway between social support and longevity, and moderator variables can modify its strength, other variables affecting the causal pathway play a different role acting as mediators between social support and outcome. This is the case of psychobiological mechanisms and, in particular, of the variables involved in dampening the stress response according to the stress-buffering hypothesis.Multiple pathways may link social support with health and longevity. Informational and instrumental support, including financial and material assistance, can help individuals to cope with health problems. Likewise, integration within a supportive social network can prevent health problems by providing positive health role models and reinforcing healthy behaviors , and ending in autonomic, endocrine, and motor effectors whose function is to protect the organism from the threat (fight-or-flight response). The result is a state of maintained or intermittent activation of physiological and endocrine responses that can, over the long term, compromise the normal functioning of the organs involved and increase the risk of disease and mortality. Two neurobiological subsystems are especially relevant in the above sequence: the hypothalamic-pituitary-adrenocortical (HPA) axis and the sympathetic-adreno-medullar (SAM) axis. Activation of both axes in response to a stressor increases the circulation of glucocorticoids (cortisol) and catecholamines in the bloodstream to allow energy to be released for the fight-or-flight response, even after the stressor has disappeared.According to the stress-buffering hypothesis, social support is beneficial for health and longevity because the presence of a bond with social partners attenuates or eliminates the adverse consequences of prolonged HPA and SAM activation. This hypothesis was first formulated by Bovard , 1962 anExperimental investigation of the stress-buffering hypothesis in humans has been particularly intensive over the past two decades. The experimental tasks have usually employed laboratory-based stressors, such as public speech, threat of mild electric shock, or exposure to painful stimuli. In children, the tasks may consist in natural stressors such as vaccination injections or exposure to clowns or toys and comparing with control pictures . The first three studies used the standard startle probe paradigm to confirm that attachment figures elicit a genuine positive emotional response that is not confounded by familiarity or undifferentiated emotional arousal in comparison to faces of strangers or known people or neutral objects. The results obtained demonstrate that in comparison to faces of strangers and neutral objects, social support faces, either presented alone or paired with control faces, act as safety signals with the following capacities: (a) to inhibit their own fear conditioning and fear of social rejection (the other) as the two main ancestral fears. Likewise, the main safety signals with capacity to inhibit fear and defense reactions are also other people: attachment and loved figures.The brain structures at the core of the defense motivational system are two subcortical areas within the temporal lobes: the amygdala and the bed nucleus of stria terminalis . Knowledge of these structures derives from animal and human studies on defense reactions and fear conditioning LeDoux, . The amyProlonged activation of the defense system leads to a cardiovascular and autonomic imbalance in which the sympathetic tone is high and the parasympathetic tone is low, a condition associated with increased morbidity and mortality , which stimulates production of adrenocorticotropic hormone (ACTH) by the anterior pituitary and its release into the general circulation. The ACTH then stimulates the production and release of glucocorticoids (cortisol) by the adrenal cortex, whose main function is the mobilization of energy to cope with environmental challenges. Brain control of the HPA axis uses the same structures as those involved in cortical and subcortical regulation of the cardiovascular system: orbitofrontal and medial prefrontal cortex, anterior cingulate, amygdala, and bed nucleus of stria terminalis . The results highlighted the emotional component of social support, principally from family and friends, which is identified as love. Love is embedded in the first and most cited definition of social support proposed in 1976: on Cobb, , describon Cobb, . ImportaNevertheless, research on social support and longevity needs to incorporate recent developments within the field that are helping to expand evidence on the link between social support and health/longevity, to advance knowledge on its underlying neurobiological mechanisms, and to translate this knowledge into the design and implementation of large scale preventive public health interventions that increase the culture of social support. These new developments derive from three different perspectives: the evolutionary, the life span, and the systemic.Mama's last hug (de Waal, Recent comparative studies between human and non-human social mammals have demonstrated that measures of social support and integration in non-human social mammals are strong predictors of health and survival, as observed in humans, with odds ratios between 1.23 and 1.72 (Snyder-Mackler et al., de Waal, , primateThe developmental approach to the stress buffering hypothesis adopted by Gunnar and Hostinar represenThe systemic approach to social support and longevity, recently defended by Holt-Lunstad et al. , 2015 anLoneliness, the perception of social isolation, is reaching epidemic proportions among the elderly in developed countries and is expected to increase further over the next few decades Cigna, . Social The author confirms being the sole contributor of this work and has approved it for publication.The author declares that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest.All claims expressed in this article are solely those of the authors and do not necessarily represent those of their affiliated organizations, or those of the publisher, the editors and the reviewers. Any product that may be evaluated in this article, or claim that may be made by its manufacturer, is not guaranteed or endorsed by the publisher."}
+{"text": "This study examined the association between age and preparedness for the continuation of COVID-19. The moderation effects of three types of social support, namely, emotional, financial, and instrumental assistance were also tested. Using a sample of 443 adults in Dallas county which has the most confirmed cases in Texas, results of multiple linear regressions showed that compared to those aged between 18 and 64, older adults aged 65 and reported better preparedness for the continuation of COVID-19. Receiving emotional, financial, and instrumental assistance were respectively more important for older people to get better prepared than for younger adults, which is consistent with the socioemotional selectivity theory. Our findings directed attention to the strengths and resilience of older adults during COVID-19 from a life course perspective and highlighted the importance of social support and social relationship in their post-disaster recovery and ongoing preparedness."}
+{"text": "Increasing attention is growing towards advanced multiscale metamaterials and nanostructures, due to recent developments in nanoscience and nanotechnology. Smart nanoscale systems with unconventional features are attractive subjects for many applications, such as electronic, optical and magnetic devices, involved in many areas such as aerospace and mechanical engineering, medicine, biology and sound and heat control. The modeling, characterization and synthesis of innovative materials and structures are, thus, needed to explore new challenging scientific applications.The Special Issue (SI) Multiscale Innovative Materials and Structures provides new insights concerning the modeling and realization of advanced nano-reinforced materials, carbon nanotube-based systems, tensegrity structures, periodic lattices and multiscale composites. Theoretical and experimental outcomes collected in the SI provide original and significant contributions in the field of nano-composites, nano-systems and nano-devices.The first work of the SI deals wiIt is our hope that the works collected in Multiscale Innovative Materials and Structures will provide scientific community with novel and significant contributions to the topic."}
+{"text": "Chest X-rays (CXR) and computed tomography (CT) are the main medical imaging modalities used against the increased worldwide spread of the 2019 coronavirus disease (COVID-19) epidemic. Machine learning (ML) and artificial intelligence (AI) technology, based on medical imaging fully extracting and utilizing the hidden information in massive medical imaging data, have been used in COVID-19 research of disease diagnosis and classification, treatment decision-making, efficacy evaluation, and prognosis prediction. This review article describes the extensive research of medical image-based ML and AI methods in preventing and controlling COVID-19, and summarizes their characteristics, differences, and significance in terms of application direction, image collection, and algorithm improvement, from the perspective of radiologists. The limitations and challenges faced by these systems and technologies, such as generalization and robustness, are discussed to indicate future research directions. The rapid spread of the COVID-19 worldwide developed into a global pandemic, leading to a large-scale medical system burden and economic crisis. The detection and diagnosis of COVID-19 rely on the positive results of the reverse transcription-polymerase chain reaction (RT-PCR); however, false-negative results may occur due to the influence of various factors such as low viral load . HoweverHerein, the application, existing problems, and possible solution of machine learning and artificial intelligence systems based on medical images are introduced, such as diagnosis and classification, treatment decision-making, curative effect evaluation, prognosis prediction, and other relevant aspects for patients affected by COVID-19. By conducting a rapid review of published studies and the existing experience of DL and AI in COVID-19 radiological examinations, the aim of this article is to evaluate the feasibility and the effectiveness of available COVID-19 diagnostic tools, which may be helpful to develop better intelligent models by medical experts and technical researchers.A combination of three group of keywords including disease, imaging examinations, together with algorithm technology was used to search for articles in four databases: PubMed, Web of Scicence, Elsevier/SD, and IEEE; all types of research were evaluated, including case reports, original research, clinical guidelines, and systematic reviews. Through reading abstracts and reviewing the references of included studies, the published studies were finally screened and classified. We set the criteria for inclusion and classification. Only research written in English was included; preprints that were not peer-reviewed were excluded. The application and effectiveness of these systems were discussed from the perspective of radiologists. Although the types and development of algorithms were not the focus of this review, they were not excluded Chest X-ray and CT are widely used to diagnose and screen COVID-19 patients from suspected patients and make differential diagnosis from patients with other lung diseases ,7,8. QuaAlthough CT was recommended in the diagnosis of COVID-19 at different stages of the disease in mainland China, the British Society of Thoracic Imaging and the American College of Radiology currently recommend CXR as the first line of COVID-19 imaging ,16. As aDL and AI systems can extract massive amounts of valuable clinical decision information by analyzing medical images and clinical data from COVID-19 patients, thus revealing the great potential for the use of chest X-rays and CT for quantifying the lesions and assessing progression and related medical indicators. Zhang et al. used quaA large number of clinical parameters and imaging data, which are generated during the diagnosis and treatment of COVID-19 patients, can be compared and correlated through DL and AI systems. Zhang et al. selectedThe effectiveness of DL and AI systems in diagnosing COVID-19 is a basic condition for clinical application and is often compared with the diagnostic performance of radiologists. Murphy et al. used datIt can be seen from these studies that the detection and diagnosis performance of AI models based on COVID-19 CXR or CT images is similar to that of experienced radiologists and may help improve the reliability of physicians\u2019 diagnoses, especially for junior radiologists and nonradiologists.Objectively quantifying the degree of disease by the percentage of COVID-19 lesions in the lung parenchyma is currently the most important application of AI in the evaluation of the COVID-19 patient, which can contribute to evaluating and monitoring the progression of the disease. In order to further analyze the clinical and radiological characteristics that lead to critical illness, it is necessary to develop artificial-intelligence-assisted models to estimate clinical prognosis. Shan et al. used theAlthough numerous studies report the efficacy evaluation and prognosis prediction of COVID-19 based on imaging, there are relatively few studies on imaging risk factors for poor prognosis of COVID-19 ,34. ReseDL and AI systems can be used to monitor and quantify disease progression and understand the time evolution characteristics of COVID-19 lesions, reducing the subjectivity of radiologists in comparing chest CT images before and after treatment. They are also conducive to accurate treatment. Although there are currently many studies focusing on the evaluation of the radiology and clinical physiological outcomes of recovered COVID-19 patients ,36, therMany biological data have been accumulated with the spread of the COVID-19 epidemic and numerous infected patients generating epidemic contact history, clinical data, laboratory examinations, and imaging data. Researchers have constructed various multimodal DL and AI systems from different angles to fully mine the information contained therein, and then transform the data into reliable and referable information in the diagnosis and treatment of COVID-19 . Li et aDue to the lack of standard requirements for datasets, there are significant differences in the dataset sources used by different studies and the image scanning conditions of each medical center or database. Researchers studied the performance of various algorithms under different data sources. Shiri et al. used ultThe most common use of deep learning and artificial intelligence based on medical images is for diagnosing and evaluating COVID-19 patients. In addition to using medical image data , DL and After the COVID-19 outbreak, data-driven DL and AI research made a breakthrough in the field of medical imaging. These studies all claimed that these algorithms could diagnose or predict COVID-19 based on CXR and CT images. Although some medical centers or medical imaging alliances have disclosed some COVID-19 dataset resources Table 2Table 2, With increasing research on the application of AI systems in COVID-19, there are increasingly more studies using similar methods.Partial code access of COVID-19 DL and AI models based on radiology images were listed in The construction of a highly standardized database is essential to improve the accuracy and generalization of the model. In addition, the development of DL and AI algorithms greatly depend on the close communication between engineer, radiologist, and clinicians, and strengthened multidisciplinary communication and cross-complementation. The establishment of multilabel and/or hierarchical classification technology evaluation and benchmark solutions will greatly promote the prevention and control of infectious diseases.Since the outbreak of COVID-19, numerous researchers worldwide have extensively studied how to quickly and correctly diagnose COVID-19 and evaluate and control the condition. Machine learning and artificial intelligence with high reliability and huge potential in various applications were adopted by numerous healthcare providers. From multiple angles, this article introduced studies that explored DL and AI technologies based on medical imaging data so as to solve the troubles and challenges encountered in reality and directly point out the limitations of current studies. Overcoming these challenges may lead to significant progress in the use of artificial intelligence technology to combat COVID-19 and future epidemics."}
+{"text": "Caregivers with diverse backgrounds make up an important part of the landscape of caregiving in the US. Their unique experiences have been traditionally under-researched in the field of social sciences and underrecognized by society. To further understand the impact of race, ethnicity, class, gender and sexuality onto caregiving, the National Alliance for Caregiving (NAC) and the AARP Public Policy Institute commissioned an in-depth analysis of the dataset collected from the Caregiving in the US 2020 study, which segments populations based on ethnic and sexual identity, geographic location, and income level. Utilizing survey interviews with 1,392 caregivers in the US, this study found differences amongst the African-American, Latinx, and Asian American-Pacific Islander populations in relation to age, time spent caregiving, ADL/IADLs, caregiving strain and intensity, receipt of formal and informal support, and financial impact. In consideration of the distinct challenges presented by diverse caregiving throughout the lifespan, this presentation will also feature results from a 2020-2021 Diverse Elders Coalition and NAC commissioned study on the unmet caregiving needs in diverse communities. 11 virtual listening sessions were held with 400 caregivers of color, including American Indian/Alaska Native caregivers, and LGBTQ caregivers across the nation. Presentation attendees can expect to learn new insights into the experiences of diverse caregivers, while also gaining a fresh understanding of informal and formal support preferences with a multicultural lens. Finally, this presentation will provide recommendations to further prioritize the needs of historically marginalized caregivers in policy and practice."}
+{"text": "Noncommunicable diseases and injuries (NCDIs) are the leading causes of premature mortality globally. Ethiopia is experiencing a rapid increase in NCDI burden. The Ethiopia NCDI Commission aimed to determine the burden of NCDIs, prioritize health sector interventions for NCDIs and estimate the cost and available fiscal-space for NCDI interventions.We retrieved data on NCDI disease burden and concomitant risk factors from the Global Burden of Disease (GBD) Study, complemented by systematic review of published literature from Ethiopia. Cost-effective interventions were identified through a structured priority-setting process and costed using the One Health tool. We conducted fiscal-space analysis to identify an affordable package of NCDI services in Ethiopia.We find that there is a large and diverse NCDI disease burden and their risk factors such as hypertension and diabetes (these conditions are NCDIs themselves and could be risk factors to other NCDIs), including less common but more severe NCDIs such as rheumatic heart disease and cancers in women. Mental, neurological, chronic respiratory and surgical conditions also contribute to a substantial proportion of NCDI disease burden in Ethiopia. Among an initial list of 235 interventions, the commission recommended 90 top-priority NCDI interventions for implementation. The additional annual cost for scaling up of these interventions was estimated at US$550m (about US$4.7 per capita).A targeted investment in cost-effective interventions could result in substantial reduction in premature mortality and may be within the projected fiscal space of Ethiopia. Innovative financing mechanisms, multi-sectoral governance, regional implementation, and an integrated service delivery approach mainly using primary health care are required to achieve these goals. Noncommunicable diseases (NCDs) are the leading cause of premature mortality in lower- and middle-income countries (LMICs), accounting for 60% of deaths . InjurieNoncommunicable diseases and injuries (NCDIs) have become a major public-health problem in Ethiopia, resulting in 44% of total annual mortality . EthiopiSDG 3.4 requires countries to commit to reducing premature mortality from NCDs by a third, through prevention and treatment .Despite commitment pledged by countries in the 2011 UN political declaration on the Prevention and Control of NCDs (UN high-level meeting), progress to combat NCDs has so far been slow, particularly in regards to populations living in extreme poverty ,11. To cNCDI disease burden: We retrieved data on NCDI disease burden and the concomitant risk factors from the Global Burden of Disease (GBD) Study, complemented by a systematic review of published literature from Ethiopia. We searched the following databases using a mix of search terms: Global Burden of Disease/IHME, PubMed, Cochrane, HINARI, Google Scholar, EMBASE, The World Bank, WHO Regional Databases and local journals, including grey literature. We included articles published from 1990 to December 2017 that had clear objectives and methodologies and addressed the major NCDIs and their risk factors. We summarised the evidence for each NCD, injury and risk factor. Where several prevalence studies of similar populations were found, we used a weighted average. In this review, community- and institution-based studies and some hospital-based studies were used to show population prevalence, whilst mortality studies and hospitalisation studies were used to indicate disease severity and outcomes.Priority setting process: Following identification of the major NCDIs in Ethiopia, interventions were selected and prioritised in a four-step process. Firstly, priority-relevant evidence from national and international studies was collected, critically reviewed, and supplemented with expert judgements. Secondly, this evidence, along with the WHO principles, was used to prioritise interventions, ranking them in three categories , not targeting the worse off in health and low FRP.entions) . The WHOentions) . Thirdlyentions) . Fourth,Estimation of costs and fiscal space: Cost by intervention was estimated using OneHealth Tool version 4.5 using the software's default data on cost of drugs and supplies and the default population model for Ethiopia Study, complemented by a systematic review of published literature from Ethiopia. The GBD data showed that in 2017 44.4% of total mortality in Ethiopia was due to NCDIs .Our review of studies of common NCDs and their risk factors in Ethiopia revealed a large and diverse burden that varies according to socioeconomic factors and 2. TThe burden of common NCDIs such as hypertension and diabetes (3.2%\u20138% of the adult population) was high, as was the burden of less common but more severe NCDIs such as rheumatic heart disease and cancers in women ,43\u201363. HCancer, especially breast and cervical cancer, is a staggering public-health problem in Ethiopia. There were an estimated 65,000 cancer cases in Ethiopia in 2015, based on projections from the population-based cancer registry in Addis Ababa, and it was estimated that two-thirds of the cancers occurred in women . These fMental, neurological and substance-use disorders in Ethiopia account for 25.6% of all years lived with disability (YLD) in 2017, affecting nearly 30% of the Ethiopian population at any given time \u201371. In aFurthermore, injuries \u2014 particularly road traffic accidents, falls and interpersonal violence - accounted for 8% of total DALYs lost in Ethiopia in 2017 \u201375. The Economic impact of NCDIs: For individuals and their households, NCDs can have devastating long-term economic consequences. A systematic review of the economic effect of NCDs on households in LMICs showed that NCDs placed a substantial economic burden on patients and their families in all socioeconomic strata, particularly in the poorest sector of the population. Direct medical expenses for drugs, diagnostics, outpatient visits and hospitalisation were the major components of out-of-pocket (OOP) costs (P) costs . The cosP) costs . A lack P) costs .There is a shortage of resources for health care in Ethiopia, with a per capita expenditure of US$33 in 2016/2017 . ReliancPriority setting for essential interventions for NCDIs: A task faced by many LMICs is identification of high-priority interventions for NCDIs and fair prioritisation of introduction or scale-up of these interventions. The gap between health requirements for NCDIs and economically feasible provision is a substantial challenge for LMICs, and likewise for Ethiopia. Health care for chronic diseases has largely been neglected, in comparison with interventions that prevent, diagnose and treat malnutrition, infection and maternal and childhood diseases.After establishing the major NCDI conditions in Ethiopia, the Commission identified an initial list of 235 potential health-sector interventions for implementation or scaleup in the Ethiopia health system. The commission used the WHO Consultative group on Equity and Universal Health recommendations to prioritize NCDI interventions: cost-effectiveness, fair distribution (priority to the worse-off) and FRP . EvidencAdditionally, multi-sectoral interventions designed to reduce population-level behavioural and environmental risk factors are available in the commission's report . Many ofEstimated health impact of NCDI interventions: The Commission made a conservative estimate that, if fully implemented, the Highest Priority Package for NCDI services could raise life expectancy at birth from 64.4 to 65.2 (i.e. by 0.8 years), and avert approximately 41,000 premature deaths by 2030 , the Commission estimated that by the end of the first five-year period (2023), there will be US$2.40 extra per capita for NCDI services from the government budget. However, in a best-case scenario of GDP growth of 7%, total government health expenditures of 6% of the GDP and NCDI expenditure 30% of the total health expenditure, there would be an extra US$4.50 for the toppriority package of NCDI services. The potential fiscal space per capita in this best-case scenario approximates the estimated per capita cost of US$4.70 (needed in the year 2023) for the recommended top-priority NCDI services. The three variants for possible targets and budget expansion paths for total (THE) and government health expenditures (GHE) that would be compatible with a commitment to move towards UHC are illustrated in Recommendations from the Ethiopia NCDI commission: Ethiopia is facing a substantial burden from NCDIs such as ischaemic heart disease, stroke, diabetes, major depressive disorders, cancer and chronic respiratory diseases, the incidence of which is increasing at an alarming rate system in Ethiopia is mainly organised around acute care delivery. In recent years the concept of chronic care has been introduced in PHC facilities through HIV service delivery, from which several implementation lessons could be learned for the delivery of NCDI services. These lessons include implementing decentralised care in the PHC, a multidisciplinary approach to care through task-shifting and task-sharing, simplification of protocols and guidelines, use of standardised essential drugs and diagnostic packages, laboratory networking, harmonised recording and reporting systems and facilitated referral mechanisms. The main strategies for prevention, treatment and care of HIV/AIDS are early detection and monitoring of risk factors, population-based interventions, a care continuum, regular monitoring of treatment adherence and psychosocial interventions. These are well-established strategies for chronic care, which could inform NCDI services. Investment in a health-system approach to NCDIs should be the way forward, as fragmented, disease-based approaches will not enable the country to respond to these emerging health problems. Substantial constraints are anticipated across each of the six key health-system components during NCDI services integration and scale-up in Ethiopia. Governance and technical support for NCDIs should be devolved and capacitated at the regional level in order to ensure appropriate decision-making and implementation of NCDI initiatives. Furthermore, the wide-ranging risk factors and the impact of NCDIs on Ethiopian society, as well as the fact that prevention and control of NCDIs require the involvement and commitment of the government and all stakeholders, including the community, call for the establishment of a national multisectoral committee on NCDIs chaired by the Prime Minister or Deputy Prime Minister, in order to guide and organise NCDI efforts. The Ministry of Health has a critical leadership role in spearheading the government's commitment. A summary of the Commission's recommendations is presented in Box 1.Box 1: Key recommendations by the National NCDI commission.Policy, planning and oversight Establish a national multisectoral committee on NCDIs, chaired by the Prime Minister or Deputy Prime Minister, to guide and organise NCDI effortsStrengthen the NCD Prevention and Control Unit at federal levelEstablish NCD Prevention and Control Units at regional levelProtect the implementation of public-health policies for NCDI prevention and control against interference by vested interests through comprehensive legislation and enforcement of national laws and regulations.FinanceAllocate an increased percentage of gains from economic growth to health; rapidly move government spending on health towards 5% of GDPMobilise additional resources, including improved efficiency, improved taxation and sin taxes , and specifically consider tax on sugar-sweetened beveragesMove towards allocating 30% of total government spending (GHE) to NCDIs by 2030Plan for reduced external funding (at least in relative terms), as the country develops economically and transitions to the status of lower-middle-income countryReduce out-of-pocket to a maximum of 20% of total health expenditureHarmonise community-based health insurance, and if possible social health insurance, with public health-sector prioritiesDevelopment of partners for engagement in generating evidence and supporting implementation of costeffective and equitable interventions for NCDs and injuries, based on national needs, in order to maximise the effectiveness of aidService integrationStrengthen the health system at all levels, emphasising primary care, and finance the national set of NCDI services, interventions and health promotion, focusing on prevention and early detection, as well as curative, rehabilitative and palliative careLow-resource countries such as Ethiopia can prevent and manage NCDs and injuries by integrating a high-priority package of interventions into existing platforms; the package's interventions should be cost-effective, target the worse-off and provide financial risk protectionImplement scale-up of health personnel as planned in HSTP, with a special emphasis on the resources needed for NCDI servicesImprove the training of health workforces and the scientific basis for decision-making through NCD-related research and partnershipsDevelop, train and implement the top eleven clinical guidelines for NCD and injury services Strategic information, target-setting, monitoring and evaluationStrengthen integrated national surveillance systems for NCDIs, including vital registration systems capable of reporting cause of death, cancer registers and risk-factor monitoringRefine existing NCDI indicators and expand to include other priority NCDIs in future revisions of HIS in order to monitor the epidemiology and service coverage of NCDIsTrack results of NCDI interventions by monitoring and reporting on the attainment of the 9 national targets .Mobilise and track domestic and external resources for NCDI prevention and control. Improve NCDI subaccounts in next round of National Health Accounts report.Education and advocacy: Achieving global as well as local commitment and action against NCDIs requires sustained advocacy. Alongside actions directed at changing social, environmental and economic conditions that impact health, mobilising the public and educating them on a healthy lifestyle will substantially contribute to the prevention of NCDIs. Advocate for improved NCDI resources and services.There is shortage of well-trained health professionals in Ethiopia, where there are only 0.96 per 1000 population, which is far less than the 4.45\u2030 recommended in order to meet the SDG health targets. Besides the shortage of human resources, inadequate knowledge and skill in NCDI case management are among the expected challenges for the health workforce during decentralisation of NCDI services. The shortage will be more pronounced in terms of staff attrition, with trained staff with their NCDI skills leaving institutions, leading to compromised case management and inconsistent completion of client-NCD risk-assessment forms, which may exacerbate the long-term monitoring of NCD risk factors. Even though the general provision of health-care professionals relative to the population is low, recent studies suggests that there is much to be gained by improving the efficiency of health facilities in Ethiopia ,90. A stGeneration of sufficient resources is critical to the delivery of health-care services. The fiscal-space analysis conducted by the Commission demonstrates that with more commitment from the government, attainment of 30% coverage of high-priority interventions is possible in the best-case scenario. In addition to economic growth, there are other ways of increasing fiscal space for government health expenditure to 5\u20136% of GDP. They include increased mobilisation of domestic resources, intersectoral reallocation and efficiency gains. As for increased mobilisation of domestic resources, particularly important options to be considered are improved taxation and other forms of revenue collection, including increased taxation of tobacco and alcohol . Such anThe NCDI burden in Ethiopia is increasing and is expected to grow at an alarming rate in the next couple of decades. A targeted investment in cost-effective interventions could result in substantial reduction in premature mortality and may be within the projected fiscal space of Ethiopia. Innovative financing mechanisms, multi-sectoral governance, regional implementation, and an integrated service delivery approach mainly using primary health care are required to achieve these goals."}
+{"text": "Saccharum officinarum, Saccharum spontaneum, and other wild relatives. Sugarcane breeding programmes are broadly categorized into germplasm collection and characterization, pre-breeding and genetic base-broadening, and varietal development programmes. The varietal identification through the classic breeding programme requires a minimum of 12\u201314 years. The precise phenotyping in sugarcane is extremely tedious due to the high propensity of lodging and suckering owing to the influence of environmental factors and crop management practices. This kind of phenotyping requires data from both plant crop and ratoon experiments conducted over locations and seasons. In this review, we explored the feasibility of genomic selection schemes for various breeding programmes in sugarcane. The genetic diversity analysis using genome-wide markers helps in the formation of core set germplasm representing the total genomic diversity present in the Saccharum gene bank. The genome-wide association studies and genomic prediction in the Saccharum gene bank are helpful to identify the complete genomic resources for cane yield, commercial cane sugar, tolerances to biotic and abiotic stresses, and other agronomic traits. The implementation of genomic selection in pre-breeding, genetic base-broadening programmes assist in precise introgression of specific genes and recurrent selection schemes enhance the higher frequency of favorable alleles in the population with a considerable reduction in breeding cycles and population size. The integration of environmental covariates and genomic prediction in multi-environment trials assists in the prediction of varietal performance for different agro-climatic zones. This review also directed its focus on enhancing the genetic gain over time, cost, and resource allocation at various stages of breeding programmes.Sugarcane is a C4 and agro-industry-based crop with a high potential for biomass production. It serves as raw material for the production of sugar, ethanol, and electricity. Modern sugarcane varieties are derived from the interspecific and intergeneric hybridization between The genetic architecture was incorporated into the kinship matrix by assigning the suitable weight to the markers identified through genome-wide association studies (GWAS) and additionally improved by removing the duplicate trait-specific markers associated with the same , Canal Point, Florida, and the Indian Council of Agriculture Research (ICAR)-Sugarcane Breeding Institute, Coimbatore, India. About 1,002 accessions and 3,345 accessions of Saccharum species clones were used in the development of breeding lines in sugarcane genome-wide association studies in germplasm and identification of elite accessions with more number of desirable genes/trait-specific accessions; (ii) hybridization between elite accessions with noble S. officinarum clones or commercial sugarcane varieties; (iii) identification of true interspecific hybrids through genomic/cytoplasmic/5S rRNA/Inter Transcriber Spacer specific markers; (iv) optimization of the training and testing populations at each generation or back cross programmes which generally requires 3\u20134 generations of backcrossing/crossing with commercial sugarcane varieties; (v) genomic prediction model building and retraining of the genomic prediction models to optimize and predict the genotype with the highest Genomic Estimated Breeding Value (GEBV) for utilization in the next generation of backcrossing or crossing. The genomic prediction model could also be able to help in the swift development of genetic stocks in pre-breeding and genetic base-broadening in sugarcane.Pre-breeding, a bridge between crop improvement and plant genetic resources, provides an opportunity for introgression of desirable genes with minimal linkage drag and enhances the adaptability of the cultivars , site regression model (SREG), shifted multiplicative model (SHMM), genotype regression model (GREG), and completely multiplicative model (COMM), are used for partitioning of the G \u00d7 E interactions into more than one factor interactions. The repeatable G \u00d7 E factors in multi-environment trials are estimated through single dimension based statistical models such as ANOVA and regression approaches. The ANOVA based statistical model partitioning the G \u00d7 E interactions into the main effect of genotypes, environments and their interactions as fixed effects/variables and residuals/error components as random variables sandy soils have high discriminative powers in differentiating the environments and genotypes size, composition and design of training and validation populations, (ii) plot size for breeding experiments varies with stages of breeding programmes, such as parental selection, early and advanced testing, and (iii) the number of replications within and across the environments (Lorenz and Nice, The genomic selection in the early stages of segregating the population is a trade-off between the cost of genomic selection and trait heritability and family size. The phenotypic selection in a large segregating population with highly heritable traits is highly efficient, whereas low heritable traits, such as yield in a large segregating population, require the molecular markers to assist in the selection of desirable plant types. Further, yield measured on the single plant basis in segregating population is inaccurate in most of the crops (Heslot et al., The recurrent selection procedure is effective in augmenting the frequency of favorable alleles in the breeding population. The marker- or genomic-assisted selection helps to reduce the number of breeding cycles and the number of individuals evaluated in each selection cycle. The marker-assisted recurrent selection scheme aims at gene pyramiding after identifying the QTL (Servin et al., The multi-environment trials are the final phase of cultivar identification and need robust statistical analysis with optimum resource allocation. The resource allocation depends on the number of replications, locations, number of test entries, etc. An adequate number of replications are required for each location to control the microenvironment variations and experimental design such as Alpha design, which is very efficient in accounting for the micro-environment variation (Gonz\u00e1lez-Barrios et al., The unbalanced design or sparse testing refers to the multi-environment trials where all the genotypes are not tested in all environments and sparse testing saves the resources. Unbalanced sparse testing with an appropriate genomic prediction model enhances the prediction accuracies and saves the resources (Endelman et al., Saccharum germplasm with genome-wide markers captures the total genomic diversity of gene bank and assists in the formation of core germplasm and genomic prediction to identify the genes associated with cane yield, CCS, and tolerances to biotic and abiotic stresses. The genomic selection in pre-breeding and genetic base-broadening programmes helps in the precise introgression of genes into the parental clones and genomic-assisted recurrent selection is useful in augmenting the favorable alleles in the population. The genomic prediction for characterization of parental clones for their general and specific combining ability leverage the breeders in selecting the elite parents and progenies combined with favorable alleles for cane yield, CCS, and tolerances to biotic and abiotic stresses. The integration of environmental covariates into genomic models predicts the better performing varieties for target environments and deployment of varieties. Genomic selection is an evolving science; appropriate genomic models and breeding strategies strengthen the prediction accuracies and enhance the genetic gain in sugarcane.Sugarcane is a C4 crop with a great potential for high biomass production and a major source of raw material for sugar production and bioenergy. Its crop improvement has many bottlenecks such as the long cycle of breeding duration, complex polyploidy, high degree of heterozygosity, narrow genetic base, and fewer basic germplasm utilized in pre-breeding and linkage drag during wide hybridization and limited financial and manpower resources. The genomic selection schemes are highly helpful in reducing the duration of breeding cycles, population size, and selection of desirable parents and development of varieties. The characterization of CM conceptualized, wrote, and reviewed the draft. KA wrote, revised, provided inputs on molecular markers, SNPs, genomic selections, and resource allocations. CA, GS, PV, HM, RV, GH, GA, and BR provided inputs on molecular markers, genomic schemes, and resources allocations. All authors read and approved the manuscript.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest.All claims expressed in this article are solely those of the authors and do not necessarily represent those of their affiliated organizations, or those of the publisher, the editors and the reviewers. Any product that may be evaluated in this article, or claim that may be made by its manufacturer, is not guaranteed or endorsed by the publisher."}
+{"text": "Insects are crucial for ecosystem functions and services and directly influence human well-being and health. Insects are among the most diverse classes of the animal kingdom, and therefore it is not surprising that they contain an immense degree of virus diversity, which remains largely unexplored. Until recently, investigations of insect virus diversity were focused on insect species of economic, veterinary, or medical importance. The deployment of high-throughput sequencing technologies has allowed for studies of virus diversity in a wider range of insect species and has led to an explosion in the discovery of new viral sequences in insect hosts, both from known virus groups and from entirely novel families. These studies have, in turn, inspired a re-assessment of the evolutionary relationships among, and taxonomic classification of, insect viruses. It is now clear that further studies of the biological effects of viruses on their insect hosts are required to understand the impact of diverse insect viromes on their host\u2019s physiology, reproduction, and the potential of host insects to be viral vectors.Acheta domesticus) [Neohydatothrips variabilis) [Scathophaga furcata) [Aedes aegypti) from the Amazon basin [Apis mellifera) [Andrena spp.) [Varroa destructor mites, which are closely associated with both Western and Eastern honey bees [Diabrotica undecimpunctata and D. virgifera) [Matsumuraeses phaseoli, an important legume pest, were also presented [The aim of this Special Issue was to invite research articles focusing on recent advances in virus discovery and the elucidation of virus diversity in insect hosts. The published papers illustrated the effectiveness of high-throughput sequencing approaches for the comprehensive analysis of virus communities, identification of novel virus variants, and discovery of novel viruses. This includes the discovery of previously unknown RNA viruses in house crickets (esticus) , soybeaniabilis) , termiteiabilis) , dung flfurcata) , mosquiton basin , hematopon basin , honey bllifera) ,8,9 and na spp.) , and evectively) . Reportsrgifera) and a beresented .V. destructor and honey bees (A. mellifera) [Sequence data on the novel viruses identified in high-throughput sequencing studies could be a starting point for further analysis of virus\u2013host interactions. Notably, some of the published papers already present such analyses, including the investigation of viral inter-species transmission between wild and managed honey bees and betwllifera) , and anallifera) ."}
+{"text": "Emerging Topics in Life Sciences entitled \u2018Current Topics in Stem Cells and Regenerative Medicine\u2019 brings together expertise from a collaborative organisation known as the Mercia Stem Cell Alliance (MSCA). The alliance was established initially by Professors Sue Kimber (University of Manchester) and Jon Frampton (University of Birmingham) just over 10 years ago and now has multiple regional centres of excellence across the Midlands and North West of the UK, including Aston University, University of Chester, Keele University, Manchester Metropolitan University, Lancaster University, University of Leicester, University of Liverpool, Liverpool John Moore's University, Loughborough University, University of Nottingham, University of Oxford, University of Sheffield, University of York. Many of these centres have contributed reviews to this issue. The MSCA also partners with industrial and clinical organisations, including the NHS, and is active in bringing stem cells and regenerative medicines to a meaningful translational endpoint (see: http://www.msca.manchester.ac.uk/).This special issue of The concept of using cell spray technologies to deliver stem cells to the CNS in the treatment of neurological trauma and pathology, e.g. following spinal cord injury, has been described and discussed by Chari and co-workers (Keele University) [The reviews published in the special issue cover key areas in stem cell biology and regenerative medicine, from aspects of basic stem cell research through to the use of stem cells and tissue engineering to model human pathophysiology and for drug development through to clinical applications of adult stem cells and other regenerative medicines. Dogan and Forsyth (Keele University) have reported how epigenetic mechanisms influence telomerase activity, which plays an essential, although not fully understood role in regulating pluripotent stem cell proliferation, differentiation, tissue repair and cancer . Walczakversity) (Universversity) . The neeversity) (Universversity) . Finallyversity) (RJAH OrEmerging Topics in Life Sciences and Portland Press for inviting the reviews, which have been written in such a manner that they are broad in outlook, whilst deep in content. One of the main objectives of the MSCA is to help basic researchers and translational scientists learn and work together, both to increase our fundamental understanding of the molecular and cell biology that underpins this exciting field and also to successfully develop new stem cell therapies. Hence, it is hoped that the special issue will provide a useful resource to many current and next generation investigators as they progress in their careers in stem cell research.We are grateful to"}
+{"text": "Dear EditorA 27-year-old female patient presented with a six-month history of a persistent and painful nodule on the chin. She referred occasional purulent exudate. There was no history of fever or systemic symptoms. Several courses of oral antibiotics had been ineffective. In the extraoral examination she presented an erythematous nodule with an important surrounding retraction . UltrasoOCF is the result of an abnormal canalization originating from chronic periapical infection. Usually, bacterial infection from the dental pulp drains into the oral cavity. However, when the inflammatory process is severe and long-standing, it may destroy the alveolar bone, spread to the surrounding soft tissue, and eventually drain to the skin.The diagnosis of OCF is usually made based on panoramic radiograph and computed tomography that show the damage of the alveolar process. However, these tests require considerable time and money to perform and may have side effects. Skin ultrasonography is a noninvasive and emerging technique with proven usefulness in localized lesions.Skin ultrasound is a safe and accessible tool for the diagnosis of OCF. The characteristic image of a hypoechoic sinus tract enhanced by color Doppler enables its diagnosis. Hence, neoplastic lesions are rapidly discarded, and many inappropriate treatments are avoided.None declared.Arcadi Altemir-Vidal: Approval of the final version of the manuscript; study conception and planning; preparation and writing of the manuscript; data collection, analysis, and interpretation; effective participation in research orientation; intellectual participation in propaedeutic and/or therapeutic conduct of studied cases; critical review of the literature; critical review of the manuscript.Maribel Iglesias-Sancho: Approval of the final version of the manuscript; study conception and planning; preparation and writing of the manuscript; data collection, analysis, and interpretation; effective participation in research orientation; intellectual participation in propaedeutic and/or therapeutic conduct of studied cases; critical review of the literature; critical review of the manuscript.Monica Quintana-Codina: Approval of the final version of the manuscript; study conception and planning; preparation and writing of the manuscript; data collection, analysis, and interpretation; effective participation in research orientation; intellectual participation in propaedeutic and/or therapeutic conduct of studied cases; critical review of the literature; critical review of the manuscript.None declared."}
+{"text": "The AGEC Accreditation Handbook and Self-Evaluation Guide has been revised several times since the first drafts were produced in 2016 and 2017. The Handbook contains information for accreditation applicants, AGEC reviewers, and members of the Board of Governors responsible for administering AGEC policies and procedures. It includes the accreditation standards, eligibility for accreditation, timelines, and self-study and site visit guidelines. It is the central document for the AGEC accreditation process. Handbook revisions, drawn from the experience of accrediting programs, have been for the purposes of clarifying expectations and simplifying the application process. This presentation highlights modifications included in the 2020 Handbook, which simplify the self-study outline and site visit guidelines, and the 2021 modifications, which clarify the \u201cMapping Course Matrix\u201d (displaying AGHE competencies covered in program courses) and add an \u201cAssessment Matrix\u201d for measuring acquisition of the competencies and improving the program as needed."}
+{"text": "Chemotherapy-Induced Peripheral Neuropathy (CIPN) is a common dose-limiting side-effect of taxane-based chemotherapy, causing progressive and often irreversible pain/sensitivity in the hands and feet. Prevention/treatments for CIPN are not well-developed and urgently needed. Limb cryocompression during chemotherapy has demonstrated promising early data of preventing/reducing CIPN severity. Currently there are no medical devices available that are dedicated to the specific requirements of CIPN prevention. As part of our ongoing development of a dedicated CIPN-prevention limb cryocompression system, this study documents the design & development of the wearable arm wrap, a central component of the system, from initial concept to a trial-ready prototype. A collaborative and multidisciplinary approach was adopted to address the complex and high-risk nature of this SME -centered medical device design & development process. The complementary collaboration unites multidisciplinary expertise spanning the scope of the project. Alongside the clinical, academic, and design & development expertise, the integration of commercial expertise is imperative to promote the market viability, and ultimate success, of the development. As the global leading experts in scalp cooling specializing in the prevention of chemotherapy-induced alopecia, UK-based SME Paxman Coolers Ltd is optimally positioned to support the commercial and regulatory dimensions. Development and adoption of a novel mixed-methodology (HudPAX) facilitated the integration of evidence-based and user-centered techniques to optimize the design & development approach and ensure integration of all critical design inputs. Alpha prototypes were designed through evidence-based approaches, with data from existing clinical trials utilized to determine the preliminary design inputs, alongside 3D ergonomic data. Investigations utilized computer-aided design, rapid prototyping, additive manufacturing, sketch modeling, and fast ideation. User-based approaches facilitated stakeholder-feedback through expert focus groups, informing further design & development and projecting the design into the next stage, Beta prototyping, for use in large-scale efficacy trials and upscaling manufacturing. This paper demonstrates a novel mixed-methods approach, which promotes cross-sector multidisciplinary collaboration, to address the complex multi-layered challenges posed by an early-stage medical device design & development process. Chemotherapy-induced peripheral neuropathy (CIPN) is a common debilitating and dose-limiting non-hematological toxicity of taxane-based chemotherapy. Symptoms of CIPN include paresthesias, dysesthesia and pain in the hands and feet, which can be persistent and irreversible even several years after completion of chemotherapy \u20133. A metAt present, dose modification of the chemotherapy itself remains the most successful approach for the management of CIPN, and symptomatic pharmacological treatment is limited to pain killers. Prevention/treatment for CIPN are not well-developed and urgently needed. Several potential neuroprotective agents have been tested in clinical trials but none have proven effective . RecentlInspired by scalp cooling for preventing chemotherapy-induced alopecia (CIA) , limb crLimb cryocompression during chemotherapy, has demonstrated potential for decreasing the incidence of CIPN \u201319. CryoDue to the emerging scientific and efficacy evidence, there is an imminent demand for a limb cryocompression device, designed specifically for use during chemotherapy infusion for the prevention of CIPN, and this is currently in development. The pilot studies by Bandla et al. facilitated data gathering of user requirements and design inputs for development of a CIPN-specific cryocompression device to facilitate enhanced treatment efficacy . The devIt is acknowledged that the design and development of medical devices is a complex, multilayered and high-risk process, with pitfalls including stringent regulation and commercial challenges. Between 80\u201390% of new product launches fail and the complex challenges specific to medical device development are likely to increase the failure rate further . Small MSelection of the optimal design methodology ensures progress through the complex, collaborative and stringent process of medical device design and development. An optimized methodology promotes collaboration across different disciplines and perspectives, and ensures that user needs are comprehensively identified through means suited to the context of the product being designed. An extensive range of design and development methodologies exist that companies can adopt during product development processes, however there is no standard method, and guidance is lacking on the selection and application of the appropriate methodologies for medical device design and development . Due to This study documents the design & development of an arm cryocompression wrap from a concept to a trial-ready prototype using the HudPAX approach. Prototype development is essential to managing individual expectations within a project, aiding tangible feedback and justifying the cost and time invested in their development. This study explores the Alpha prototyping stage. The Alpha prototype is the initial attempt at designing and fabricating the product to meet the Product Requirements Specification; the Beta prototype development follows on from this and incorporates the design refinements found in Alpha development and implements them into production. This study generated an Alpha prototype of CIPN-prevention cryocompression arm wraps as a medical device in the feasibility, pre-clinical stage, addressing the complex challenges posed, through a mixed-methods approach.- The Double Diamond process, by the Design Council: a strategic and incremental process encompassing four stages; Discovery, Define, Develop and Deliver ;- Reflective Practice, by Donald Schon: Promoting the reflection on our actions in design so as to engage in a process of continuous learning ;- Design Science: an evidence/outcome-based methodology used to bridge the practice\u2013academia divide by developing actionable knowledge that is grounded in evidence ;- Design Thinking: This user-based approach is a procedure for investigating potential product-users wants and needs, that culminates in a design brief identifying an opportunity for developing a new product .The research method designed and applied in this study supports the delicate balance within the project, between the distinct needs of medical device design, commercial feasibility and the stringent regulatory control. In addition, it ensures a comprehensive range of design inputs (user requirements) are successfully gathered and addressed through design outputs. This approach, named HudPAX , integraIntegration of the design principles of the Double Diamond process with Design Science (evidence-based approach) and Design Thinking (user-centered approach), through the mixed-methods HudPAX approach, promoted the establishment of an iterative design process which successfully led to the selection of an initial concept for pre-clinical prototyping.The HudPAX method was developed in-line with the scope of medical regulatory standards, to ensure resulting medical devices are fully compliant with international regulations and to ease the eventual regulatory approval processes. ISO 13485:2016 is the Regulatory Quality management system for medical devices, and the incremental milestones defined by ISO 13485:2016 act as a core element within the HudPAX process, to which all other methods tether.This study concentrates primarily on the feasibility stage, Phase 1 (Discover) and Phase 2 (Define) . There iThe HudPAX research method is designed specifically to address the challenges associated with a collaborative, SME-centered, cross-sector medical design and development project, providing an optimized approach for academic and industrial collaboration. Tools including regular reviews, reports and quarterly board meetings help assess progress and ensure that the needs of all stakeholders are continually addressed.Design inputs and initial user requirements were gathered from previous pilot clinical studies, conducted by the Singapore team, to investigate the safety and feasibility of cryotherapy devices in preventing CIPN. These proof-of-concept studies investigated two cryotherapy modalities using existing class-I cooling devices designed for generic injury and therapeutic purposes. The cryotherapy modalities tested were continuous-flow cooling , and cryocompression . Pilot studies involved healthy volunteers first, to investigate safety, tolerability and optimal parameters, and subsequently studied in cancer patients undergoing chemotherapy for efficacy in preventing CIPN \u201319. ThesDesign inputs were gathered from various stakeholders including the healthy volunteers and patients who participated in the study and, nurses and bioengineers who administered the cryotherapy. Design inputs gathered through the Design Science/evidence-based approach included scientific and clinical data which set the parameters for prototyping. Observations were made on the safety (discomfort or cold burns), temperature tolerability (intolerance to cooling and compression), therapeutic efficacy and comfort (fit and ease of use over extended duration of usage). These observations were made for both intra-cycle and over multiple cycles of chemotherapy.Global medical device regulations are very similar and invoke a patient-protective, risk-based system where each device is classified into 1 of 4 categories. The higher the perceived risk, the more stringently the regulations are applied up to the highest risk where a full design dossier review is required.With the exception of the Regulatory Quality management system (ISO 13485:2016), which forms the core of the HudPAX method, integration of regulatory standards is strategically limited during early-stage feasibility investigations of medical product design, in order to permit the full exploration of ideas to ensure the eventual selection of the optimal design. In accordance with the management system, regulatory standards should be fully addressed and applied in the later development stages where IEC 60601-1 was assessed for general requirements for basic safety and essential performance;- IEC 14971 was assessed for applications of risk management to medical devices;- IEC 62366 was assessed for applications of usability engineering to medical devices.Safety and usability testing is considered in all aspects including, but not limited to:While integration of regulatory standards is not required at this feasibility stage of the investigation, awareness of relevant impending regulations is important to ensure a smooth transition to the next development stage and to optimally position the development for eventual regulatory compliance. Regulatory standards which have been considered during this feasibility study include:This study documents the design & development of an arm cryocompression wrap from a concept to a trial-ready prototype. The mixed-methods HudPAX approach promoted the strategic implementation of multiple complementary research methods, through the process of input gathering, ideation and prototyping and designing for manufacture, ultimately producing an Alpha prototype and facilitating a user-centered focus group study.Design inputs were generated based on clinical evidence, which was gathered from over 400 cycles of cryotherapy using the two modalities: continuous-flow cooling, and cryocompression \u201319. ThesThe HudPAX method integrates a well-established commercial product design & development framework, the Double Diamond design process, an incremental ideation approach to explore the full range of potential concepts. With the evidence-based design inputs as a foundation, Phase 1 (Discover - Research) and Phase 2 (Define - Ideate) were explored , primariAn initial design concept was selected by the team, where ergonomic aspects were explored. The ergonomic foundation of this design was adjustability which allows the wraps to fit a wide variety of users' arm types/sizes, tightening it to different contours, and loosening if patients experience discomfort or sensitivity to the cold, in addition it provides easy removal for toilet breaks or in emergencies. The arm wrap will cover a large portion of the arm, hence many variables were to be addressed including: finger, palm and wrist size, forearm girth and arm length. Design mechanisms were used to allow for the required levels of adjustability including Velcro\u00ae and flaps for extending or reducing individual zones of the arm wrap. This development phase also involved the analysis of: suitable materials, exploration of potential manufacturing methods, testing, technical requirements (including flow rates and cooling efficiency), safety, regulatory standards, comfort, and aesthetics.The ergonomic design concept was implemented in the initial designs , 5 whereApart from evidence-based ergonomic inputs, the initial designs also included considerations of the optimal therapeutic parameters (best tolerable temperature and pressure ranges), based on pilot clinical trial efficacy data \u201319. FeatBased on the knowledge, from our pilot studies, that the forearm is able to tolerate lower temperatures than the fingertips, a feature of thermoregulating different zones was investigated through a concept which utilized three separate cooling bladders per arm .Further exploration led to a concept with a single bladder which utilized a bottleneck design to reduce flow and adjust temperature incrementally from low, medium and high , through zones based on our clinical data on temperature tolerability . This siThe initial concept was then selected for pre-clinical investigation . PrototyThe prototypes were created for a focus group testing with users and stakeholders , 9.The developed Alpha prototypes were presented to a stakeholder focus group to gather user-centered and ergonomic based feedback. The user-centered focus group study was conducted at the Clinical Research Facility, Leeds teaching hospital, Leeds, UK and involved healthcare professionals and patient and public involvement (PPI) groups. Engagement of PPI groups ensures that patients, public and caregivers are actively involved early on in the medical device design process and their insights and perspectives are taken into account. This user perspective also aims to mitigate any possible oversights at an early stage in the medical device development process.The focus group, consisting of 12 healthcare professionals and PPI group members, acknowledged the unmet clinical need and appreciated the concept of a wearable device to prevent CIPN. Participants were informed on the usability aspects of the wrap design including compression and cooling aspects, correct fit, intravenous cannula monitoring, ease of removal, optional pressure on the cannulated arm and instructions for use. Participants were encouraged to try on the prototype wraps alongside examples of existing non-CIPN specific cooling devices. The following user-centered development aspects were explored:The focus group appreciated the idea of an intravenous cannula site window providing visual access to the healthcare professionals to monitor any extravasation or adverse reactions that might occur during the chemotherapy infusion. At the same time, this allows for the cannulated arm to receive the benefit of cryotherapy. The placement and size of the intravenous cannula site window in the Alpha prototype was suggested to be modified to fit cannulation practices in the UK, as the earlier placement was catered to practice in Singapore, based on the pilot clinical trial evidence. This highlighted a key user-centered design aspect to be taken into consideration. Using these key inputs, we applied the data from the focus group to develop a concept prototype including multiple adjustable flaps throughout the wrap, as shown in The focus group suggested incorporation of a design feature for the intravenous feed to fit through the wrap without dislodging the cannula. This would allow for the healthcare professionals to remove the wrap without removing the cannula to facilitate toilet breaks.The focus group considered the reusability of wraps and a suitable biocompatible material which would allow for disinfection and reuse over different chemotherapy cycles and in different patients.The Velcro\u00ae flaps were reported to be simple, easy and convenient to use, especially for quick wrap and unwrap during toilet breaks. The focus group was comfortable with the fit of the prototype wraps which catered to various sizes of arms and ease of adjustability. They also indicated that there was sufficient \u201cbreathing\u201d space around the palm area to allow fingers movement during the extended period of application. A concern was that the wrap may be too long for smaller sizes of arms. The group also considered the weight of the device exerted on the patient's limbs as a factor of comfort through the entire duration of cryotherapy.The next stages of prototype development will involve the production of functional or proof-of-concept prototypes which allow the retention and flow of liquids and air pressure, thus allowing the evaluation of fluid dynamics, temperature control, pressure and temperature tolerability. The feedback gathered in this study was adopted as design inputs into the design development process. This further led to the developed Following on from this feasibility study, in phase 2 and phase 3 of the methodology, the design for manufacture becomes a more dominant consideration. In phase 2, we collaborate with several manufacturing companies with different specialist areas to make Alpha prototypes and low-volume prototyping for validation testing and clinical trials. Considerations include the materials, methods and the costs associated with one-off or low-volume manufacture. The later stages will increase the focus on the design for manufacture, specifically regarding tooling, where rapid tooling and hard tooling will be considered depending on volumes, quality and constraints for both the external limb-wrap and the internal coolant-containing-bladder. Due to the many parallels between this device and Paxman's established scalp cooling device, the existing industry expertise and infrastructure for prototyping, supply and material usage provides a readily-available framework which can be adopted and modified to the unique requirements of this project.For the manufacture of the internal bladder for the functional prototype, Radio-Frequency (RF) welding has been selected. RF welding uses high frequency electromagnetic energy to generate heat, thus bonding sheets of plastic together . TechnicThis study documents the design and development of arm wraps as a central component of a CIPN-prevention limb cryocompression system. Using the HudPAX method, design input requirements were gathered from existing clinical pilot studies, and design outputs were developed in an iterative process, with user-centered approaches providing vital stakeholder feedback and propelling the development into its next stage. This research demonstrates the importance of cross-sector multidisciplinary collaboration, mixed-methodology adaptation and the integration of stakeholder consultation, in addressing these challenges, particularly with SME-centered developments where resources and research and development infrastructures are limited.Development of a Beta prototype - based on the findings of this study, generating a near-final design for use in the subsequent clinical trials;A healthy volunteer trial to determine safety will be conducted using the Beta prototype;A clinical trial in cancer patients undergoing chemotherapy will be conducted, to prove efficacy;Regulatory approval will be obtained;The \u201cdetailing and final prototype\u201d stage in collaboration with industry will finalize the product;The final product will be launched to an international market, through Paxman's existing infrastructure.Our ultimate aim is to generate a complete four-limb cryocompression system for CIPN prevention, which can be utilized by patients worldwide, alongside the existing Paxman scalp cooling system. The roadmap of milestones to ensure the continuation of this successful development includes:The method adopted in this project was developed to address the complex and high-risk nature of SME-centered medical device design & development projects and supports the equilibrium between the distinct needs of medical device design, user needs, commercial feasibility and stringent regulatory standards. The complex challenges encountered within medical device development demands a multidisciplinary approach; in which experts from all fields of relevant research collaborate to address unmet clinical needs. In this project, early-stage clinical trials generated the evidence-based inputs and ensured the feasibility of the potential solution. The subsequent ideation phase engaged the expertise of designers and engineers, who utilized the scientific evidence to generate potential concepts. Qualitative assessment of the concepts, from users, was then essential to progress the development into the next stages, where opinions and motivations are explored. This fundamental communication between Design Science and Design Thinking methods is the foundation for establishing early success in medical device design & development.As we have explored in this paper, medical device design & development is complex. The development process needs to be adaptable and multifaceted to ensure the commercial viability. A crucial consideration for any development, during the discovery phase (Phase 1 - Research), is a market analysis to assess the market for existing products, state-of-the-art technology and industrial feasibility. A comprehensive literature review identified key commercial aspects including market size, freedom to operate, problem definition, user behavior, opportunities and needs, together with the integration of academic aspects.Ultimately this development aims to achieve MDSAP approval, which is medical device compliance encompassing HC, FDA, ANVISA, EC, ATG and PMDA, and represents six different medical device markets: Australia, Brazil, Canada, Europe, Japan and the United States. Regulatory approval for additional markets will also be strategically pursued. Utilizing the existing knowledge and infrastructure available from the commercial partner, the future challenges associated with obtaining regulatory compliance, which commonly account for new medical devices' market failure, will be mitigated.Approximately 30,000 patients in the UK, and 1 million worldwide, can be affected by CIPN annually. Scalp-cooling prevents CIA, which occurs alongside CIPN and therefore the market already exists. Collaboration with Paxman Coolers Ltd integrates into the project an existing route-to-market with the synergies facilitating improved productivity and economies-of-scale to be achieved. Limitations specific to this CIPN prevention device include the additional medical time required to attach/detach/monitor the therapy; the additional space required for the device within hospital/clinics; and also potential low adoption of the therapy due to current low-level awareness amongst patients of CIPN as a side-effect of chemotherapy. Identification and consideration of potential limitations by the multidisciplinary team and stakeholders, at this feasibility stage, facilitates early mitigation.Medical requirements; Technical requirements; Stakeholder and user requirements; Regulatory requirements; Multidisciplinary team varied expectations; Commercial viability; and Market awareness and accessibility.This paper has addressed the challenges posed by early-stage medical device design & development, including the following challenge areas: Through the development of a limb-hypothermia arm wrap Alpha prototype for CIPN prevention, cross-sector collaboration has united multidisciplinary expertise from clinical, academic and commercial backgrounds, with the combined regulatory and market-awareness knowledge providing a strong foundation which proves central to the development's ultimate viability.Development and implementation of a mixed-methodology has promoted a flexible approach addressing the complex design challenges and optimized to the cross-sector needs and expectations of the collaborating partners. This mixed-methodology has also demonstrated the equal importance of evidence-based and user-centered inputs, primarily for setting the clinical and technical parameters and secondly for integrating user requirements. Our work highlights the necessity for stakeholder consultation in the early stages of medical device development, specifically when multiple user-types (nurses/patients) exist, to ensure user-inputs comprehensively reflect the user-needs. Continuation of the mixed-methods approach will propel the device through the next stages of the development including Beta prototyping, clinical trials and eventual market launch.The original contributions generated for the study are included in the article/supplementary material, further inquiries can be directed to the corresponding author/s.The studies involving human participants were reviewed and approved by School Research Ethics and Integrity Committee (SREIC), University of Huddersfield, UK. The patients/participants provided their written informed consent to participate in this study. Written informed consent was obtained from the individual(s) for the publication of any potentially identifiable images or data included in this article.JB, EU, PB, RP, RS, and AB contributed to the conception and design of research. JB and AB contributed to the implementation of the research, acquisition, and interpretation of data. JB, EU, JC, and AB drafted the manuscript. PB, RP, and RS revised the manuscript critically and for important intellectual content. All authors read and approved the final manuscript.JB and PB are employed by Paxman Coolers Ltd. RP partially owns Paxman Coolers Ltd. EU, RS, and AB have received research or travel funding from Paxman Coolers Ltd. The remaining author declares that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest. This work was supported by Paxman Coolers Ltd., UK. The funder was involved in the commercial design decisions as this project is a commercial product design and development , but the academic and research team independently made decisions for data collection, analysis, interpretation of data, the writing of this article and the decision to submit it for publication."}
+{"text": "Despite being among the most common psychiatric disorders worldwide, and a leading cause of disability including work and school absences, anxiety disorders have been relatively under-represented in recent research of novel pharmacologic agents, compared to major depressive disorder (MDD) and schizophrenia. Panic disorder (PD), generalized anxiety disorder (GAD), and social anxiety disorder (SAD) are commonly treated with either medications and/or psychotherapy, while specific phobias (SP) are usually treated with behavioral therapy alone. While there is support for certain forms of psychotherapy to treat anxiety disorders, there remains concern about lower efficacy of psychotherapies compared to medications , and incThe purpose of this Research Topic was to collect original papers and review articles exploring promising novel medications on the pipeline for anxiety disorders, primarily GAD, PD, SAD and SP, after first reviewing the current state of psychopharmacological treatments available. The topic aimed to explore more unique pathways for targeting treatment response in anxiety disorders, including the glutamate system, neurosteroids, the hypothalamic-pituitary-adrenal (HPA axis), neuropeptides, cannabinoids, and phytochemicals.Lijffijt et al. reported a protocol for a randomized, placebo-controlled proof-of-mechanism trial of a n-methyl-d-aspartate (NMDA) receptor antagonist lanicemine for 24 adults with symptoms of post-traumatic stress disorder (PTSD) ]. The study was included in this Research Topic despite being a trial on participants with PTSD symptoms because of its potential application to anxiety disorders. In the protocol, participants are to receive 5 days of intravenous (IV) injections of lanicemine or placebo and be monitored with anxiety-potentiated startle and CAPS scores. Lijffijt et al. are building upon previous research of another NMDA antagonist, ketamine, which has also been tested using IV infusions in patients with treatment-resistant depression , and its interactions with GABA, the primary CNS inhibitor, in anxiety disorders. Building from an overview of circuitry and receptor pathways, and a review of preclinical research describing the role glutamate plays in anxiety, Nasir et al. then describe the current state of glutamatergic and GABAergic drug research in anxiety disorders. The GABA modulators discussed in the paper, most of which are clinically used as anticonvulsants , have limited support due the absence of larger, randomized, double-blind, placebo-controlled trials, with the exception of pregalabin, which was approved for GAD in Europe in 2006 , SSRIs, and benzodiazepines may normalize hyperactivity of the HPA axis. Tafet and Nemeroff cite evidence that these antidepressants may modulate glucocorticoid receptors in the brain and benzodiazepines may have an inhibitory effect on corticotrophin releasing factor (CRF). Taken together, the findings support an expansion of research beyond serotonin and norepinephrine and may spur exploration of novel agents targeting the HPA axis directly.Understanding stress response and hormone regulation may provide further clarity about newer pharmacological treatments, and Garakani et al., along with other authors, presented an overview of the current state of treatment of anxiety disorders, which is discussed above, followed by a review of novel pharmacologic treatments for PD, GAD, SAD, and SP. Several serotonergic agents that were originally investigated for depression have been studied and showed potential, but these trials did not lead to FDA approval and there are limited ongoing investigations. There are also trials of psilocybin and lysergic acid diethylamide (LSD) for anxiety but primarily in those with life-threatening diseases (like cancer) , 18. Ket cancer) . Studies cancer) , 21, andTaken as a whole, the Research Topic did in fact show both promises and disappointments in the research of novel pharmacotherapeutics for anxiety disorders. As expected, the pathways and novel compounds hypothesized to treat anxiety were hampered by lack of efficacy (perhaps due to poor study design), small sample sizes or other mitigating factors. With any hope, this Topic should not discourage ongoing exploration beyond serotonin, norepinephrine and GABA, and instead bolster the efforts to expand on our understanding of the complex neurobiological pathways of anxiety and how to translate this work into novel agents that perhaps can complement the ongoing research into psychotherapeutic treatments of anxiety.AG wrote the original draft of the manuscript. AG, RF, and JM contributed to critical manuscript revisions. All authors reviewed and approved the final draft of the manuscript and made substantial contributions to this study.JM disclosures: In the past 5 years, JM has provided consultation services and/or served on advisory boards for Allergan, Boehreinger Ingelheim, Clexio Biosciences, Fortress Biotech, FSV7, Global Medical Education (GME), Impel Neuropharma, Janssen Research and Development, Medavante-Prophase, Novartis, Otsuka, and Sage Therapeutics. JM was named on a patent pending for neuropeptide Y as a treatment for mood and anxiety disorders and on a patent pending for the use of ezogabine and other KCNQ channel openers to treat depression and related conditions. The Icahn School of Medicine (employer of JM) was named on a patent and has entered into a licensing agreement and will receive payments related to the use of ketamine or esketamine for the treatment of depression. The Icahn School of Medicine is also named on a patent related to the use of ketamine for the treatment of PTSD. JM was not named on these patents and will not receive any payments. The remaining authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "The Acute Life interventions Goals and Needs Program (ALIGN) is an inter-professional team of medical and social work providers dedicated to offering time-limited intensive ambulatory care to the most complex, high cost, high needs older patient population at Mount Sinai Hospital in NYC. During the 2020 COVID19 pandemic, ALIGN pivoted to focus on emergency planning actions. Such actions included language and culturally concordant goals of care discussions with patients and family, completion of electronic Medical Orders for Life Sustaining Treatment, reassessment of patient\u2019s social determinants of health, determination of adequate access to food, medication, and emotional support to those alone and isolated, and assistance with video telemedicine. ALIGN\u2019s model of care has shown how adaptable this program and others were during the height of the pandemic."}
+{"text": "The regulation of ROS and RNS levels is indispensable to preserve cellular homeostasis. Low ROS and RNS levels stimulate immune responses, cell proliferation, apoptosis, differentiation, and stress-responsive pathways. High ROS and RNS levels damage lipids, proteins, and DNA [S-transferases) can neutralize ROS directly or with the help of metal cofactors [N-acetyl cysteine and lipoic acid) act as cofactors for some enzyme systems or neutralize the production of free radicals by transition metals [Knowledge on the plants that express the greatest concentration of antioxidant molecules of interest,Pedoclimatic conditions and cultivation stages that make most of their levels available in plants,Extraction methods that can properly maximize their recovery,The potential preventive and/or therapeutic effect of each chemical class of antioxidants,Pharmaceutical delivery systems that allow for the full advantage of their actions in the body.Oxidative stress happens when the levels of reactive species made from oxygen and nitrogen exceed the body\u2019s antioxidant capacity. Exogenous agents and endogenous processes generates-links) . Antioxis-links) . Some en and Zn) . The ant and Zn) . The secn metals . In recen metals ,9,10. Fon metals . Moreoven metals . UnfortuThis work comprises original research papers and reviews on antioxidant molecules in food, the agricultural practices that maximize their levels in plants, the potential preventive effects of selected classes of antioxidant molecules, their potential use in functional foods, and the pharmaceutical delivery systems that maximize their potential activity when used as supplements. Finally, the recovery of food antioxidants from food waste is discussed, considering the need to reduce waste to protect the environment as an issue of primary importance ."}
+{"text": "Atherosclerosis is a chronic and progressive inflammatory disease of the arteries initiated by the functional and structural alteration of the endothelial layer responsible for promoting the subendothelial retention of modified low-density lipoproteins (LDL), which in turn generate an active proinflammatory state in which environmental factors, such as oxidizing agents, growth factors, cytokines, monocyte-macrophages and smooth muscle cells (SMCs), work in cooperation to promote the formation of plaque. Despite substantial progress in the prevention, diagnostics, and treatment of atherosclerosis, it remains the leading cause of mortality worldwide, approximately resulting in 18.6 million deaths in 2019 [This Special Issue contains a selection of research articles and reviews written by experts in the field, focusing on the molecular biology of atherosclerosis, the impact of different risks factors and the mechanisms by which they can influence the development of this disease.As briefly mentioned above, atherosclerotic disease arises as a consequence of the subendothelial retention and modification of LDL, sparking an inflammatory state and promoting the formation of fatty streaks, the earliest visible signs of atherogenesis. There is extensive evidence that increased plasma levels of proatherogenic lipid species are causally associated with atherosclerosis, and that lipid-lowering therapies can substantially reduce the lifetime risk of cardiovascular disease . In thisAnother important event contributing to the development of atherosclerosis is the recruitment of circulating monocytes to the vessel wall, their transendothelial migration and their phenotypic polarization towards proinflammatory macrophages that acquire the capability to rapidly secrete a wide range of inflammatory mediators, influencing the development and extent of atherosclerosis. Wu et al. investigated the molecular mechanisms involved in mononuclear cell (MNC) activation and endothelial dysfunction in atherosclerosis, suggesting that circulating fatty-acid-binding protein 4 (FABP4) is capable of altering monocyte cell adhesion and endothelial functions via the upregulation of ERK/JNK/STAT-1 signaling and the downregulation of the eNOS and SDF-1 pathways. Consistently, they also showed that the inhibition of FABP4 attenuates the effect of oxLDL on monocyte adhesion to ECs through the downregulation of the integrin pathways in MNCs and human coronary endothelial cells (HCAECs). Nevertheless, the paper by Chang et al. demonstrates that the selective inhibition of the C-C chemokine ligand (CCL4), an inflammatory chemokine highly expressed in atherosclerotic patients, is able to restore the endothelial adhesive properties and reduce the activity of metalloproteinase-2 and -9, as well as the production of TNF-\u03b1 and IL-6 in stimulated macrophages through the nuclear factor NF-\u03baB pathway. In the context of vascular inflammation and atherosclerosis, the role of neutrophils has been underappreciated for many years; more recently, however, neutrophils have emerged as important contributors to atherosclerosis due to their ability to release neutrophil extracellular traps (NETs). In this regard, it has been demonstrated that NETs are present in the atherosclerotic plaques of both human and animal models, where they induce endothelial cell dysfunction and apoptosis, oxidative stress and the oxidation of high-density lipoproteins; thus, reducing their capability to promote cholesterol efflux from foam cells ,4. Da SiThe health benefits of acetylsalicylic acid (ASA) and diminazene aceturate (DIZE) have also been investigated with respect to the atherosclerotic plaque development and phenotype. Acetylsalicylic acid (ASA), also known as aspirin, was first successfully synthesized in 1899 and widely used to reduce pain, fever and inflammation until the 1970s, when it became the cornerstone of therapy for the secondary prevention of cardiovascular events by the virtue of its antithrombotic properties ,6. In thThe review by Giglio et al. provided a clear overview of the molecular effects of novel nutraceuticals, hypolipidemic agents and hypoglycemic drugs on atherogenesis. Siew and colleagues provided valuable insight into the advances, applications and potential pitfalls of the CRISPR/Cas9 system in the context of atherosclerosis. An interesting interaction between the endothelial cells of coronary arteries (CA) and internal thoracic arteries (ITA) upon coronary artery bypass grafting (CABG) surgery was proposed by Shishkova et al. to explain the molecular mechanism underlying the increased resistance of ITA grafts to atherosclerosis and restenosis."}
+{"text": "Da Costa et al., Druege et al., Mhimdi and P\u00e9rez-P\u00e9rez proposed AR formation as the default state of root development in plants, highlighting that root initiation from non-root tissues might be considered as an ancestral trait, as ARs are formed by default in lycophytes and ferns. According to the same authors, in many angiosperms, AR formation seems to be repressed through mechanisms that maintain competent cells in a quiescent state. Activation of competent cells is triggered by environmental conditions to which the cuttings or intact plants are exposed, like exogenous auxin treatment, wounding, waterlogging, or light exposure and mineral nutrition determining the activation of a complex network of signaling, metabolic, and transport pathways formation. The first is known as the induction phase, in which high auxin levels are required for reprogramming of competent cells toward root development, which is further linked to other biochemical changes genes, on the control of auxin or jasmonic acid conjugation, and the PIN, AUX/LAX, and ABCB genes, on the control of auxin transport.The articles of Aux/IAA and ARF genes that encode auxin signaling repressors and their target auxin response factors respectively. Downstream, genes of transcription factors (TFs) from the GRAS, SHORTROOT (SHR), SCARECROW (SCR), WUSCHEL RELATED HOMEOBOX (WOX), LATERAL ORGAN BOUNDARIES-DOMAIN (LOB) and APETALA2/ETHYLENE RESPONSIVE ELEMENT BINDING (AP2/ERF) gene families, control the auxin-dependent establishment of the AR founder cell and the new root apical meristem, the maintenance of the quiescent center (QC) and subsequent establishment and differentiation of the AR primordium . A coordinated change of expression of genes controlling the modulation of the cell wall, such as EXTENSIN and CYS ENDOPEPTIDASE genes, may probably also be involved (Li). Even though these reviews present different perspectives, they stay in line to each other in pinpointing to the core function of plant hormone crosstalk on regulating AR formation, within a process involving a hierarchy of transcription factors, that is linked to epigenetic modulation events, with reactive oxygen species (ROS) also being involved as messenger molecules.Important molecular factors that determine auxin signaling are specific Vilasboa et al. highlight the capacity to efficiently modulate redox conditions though high activity of SOD and soluble GPRX, as the main factor defining AR ability in Eucalyptus. The role of phenolic compounds acting as synergistic or antagonistic in AR formation has long been known, and its role as a species-dependent parameter was also highlighted by Vilasboa et al.The involvement of enzymes from ROS-scavenging mechanisms, and phenolic compounds working as a non-enzymatic antioxidant system, have been investigated across a diversity of plant species during the AR formation process. The activity of ascorbate peroxidase (APX), superoxide dismutase (SOD), and catalase (CAT) have been associated with improved rooting ability . The importance of ROS on AR formation was also explored by studying the involvement of the alternative oxidase (AOX), a key enzyme in the alternative respiratory pathway, using semi-hardwood cuttings .Within the different ROS molecules, the focus has been given to HAbarca suggested the epigenetic control of miR160/167-modulated auxin signaling, the TARGET OF RAPAMICINE (TOR) and possibly RETINOBLASTOMA-RELATED (RBR) dependent metabolic and auxin control of the cell cycle, and the non-cell autonomous regulation of WOX11/12 expression by CLAVATA3/EMBRYO SURROUNDING REGION-RELATED (CLE) peptides, as three molecular checkpoints for the age-related decline in AR induction. In their original article, Pizarro and D\u00edaz-Sala compared hypocotyl cuttings excised from Pinus radiata seedlings with different ages to identify genes that control the cell wall-plasma membrane-cytoskeleton continuum in the basal stem, in relation to rooting competence. The RECEPTOR-LIKE KINASE (RLK) and MECHANOSENSITIVE CHANNEL (MSC) genes, as well as genes encoding downstream regulators of the small GTP-binding protein family, were associated with rooting competence, probably via acting on the control of cell wall sensing and membrane disturbances during the essential cellular reorganization .The loss of rooting capacity with plant aging , a major problem in breeding and propagation of many tree species, has also been investigated. Regarding the relevant literature, Bannoud and Bellini, Abarca).Despite all the research carried out and the information achieved in the last years, the mechanisms underlying maturation-induced rooting recalcitrance and environmentally mediated rooting, as well as several other aspects of the AR formation process, are still far from being fully understood . The work of UD was funded by the German Federal Ministry of Food and Agriculture (BMEL) based on a decision of the Parliament of the Federal Republic of Germany, granted by the Federal Office for Agriculture and Food .The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest.All claims expressed in this article are solely those of the authors and do not necessarily represent those of their affiliated organizations, or those of the publisher, the editors and the reviewers. Any product that may be evaluated in this article, or claim that may be made by its manufacturer, is not guaranteed or endorsed by the publisher."}
+{"text": "At Robert Koch Institute\u2019s Department of Infectious Disease Epidemiology, approaches for applying the principles of evidence-based public health (EBPH) have been particularly successfully implemented in the Immunization Unit and in the Unit for Healthcare-associated Infections, Surveillance of Antibiotic Resistance and Consumption. Furthermore, both units participated in the international Project on a Framework for Rating Evidence in Public Health (PRECEPT) which has been funded by the European Centre for Disease Prevention and Control (ECDC).The Immunization Unit hosts the Executive Secretariat of the German Standing Committee on Vaccination (STIKO). In 2011, STIKO has adopted a new Standard Operating Procedure (SOP) for the development of vaccination recommendations. Main aim was to provide a methodological framework to guide this process by applying the principles of EBPH. The SOP comprises ten consecutive steps, starting with a prioritization process of relevant topics, and ending with the publication of the recommendation and a related paper on the scientific background. Following the principles of EBPH, systematic reviews and meta-analyses are performed to address key issues. The methodology of the Grading of Recommendations Assessment, Development and Evaluation (GRADE) working group is a core element of the SOP and is used to assess the quality of evidence on vaccine efficacy/effectiveness and safety, including population effects. In addition, STIKO has started to use Evidence-to-Decision Tables to support the decision-making process. Since 2012, ten recommendations on new vaccines or revisions of previous recommendations have been successfully developed using the SOP, accompanied by publication of background papers and of the respective systematic reviews in peer-reviewed journals .At the Unit for Healthcare-associated Infections, Surveillance of Antibiotic Resistance and Consumption, the EBPH approach has been used to perform systematic reviews on the burden of healthcare-associated infections . As an eThe latter review was part of the PRECEPT project. PRECEPT defined a methodology for evaluating and grading evidence in public health, with a particular focus on infectious disease epidemiology, prevention and control, taking different domains and question types into consideration . The met"}
+{"text": "Empirical data regarding Covid pandemic impact on the Nevada Adult Protective Services (APS) Program clients, casework, and staff was gathered and analyzed as part of a multi-faceted program evaluation. Key findings include: 66% of the staff agreed or strongly agreed that the pandemic made their jobs more challenging. Respondents reported Covid-related challenges faced by clients, the program, and themselves as social workers serving older and vulnerable adults. Adverse client impacts observed included increased social and emotional isolation, loss of housing, exacerbation of symptoms of mental illness, necessary services being cut from clients subsequent to testing Covid positive, and fear and reluctance to allow needed visiting service providers, such as home health aides, into their homes. We will discuss the implications of the findings on APS services and clients, and on related health and human services designed to promote the wellness and independence of older and vulnerable adults."}
+{"text": "The public health emergency response workforce has experienced unrelenting pressureduring the past decade. Countries in the Western Pacific Region have responded tosignificant outbreaks of avian influenza, Zika virus disease, Middle East respiratorysyndrome, vaccine-derived poliovirus, measles and the coronavirus disease 2019(COVID-19) pandemic, as well as natural disasters; they also supported the response toEbola virus disease in West Africa during 2014\u20132016. . are a keyactivity for strengthening health security by developing vital technical expertise inthe existing workforce. (In 2019, we interviewed public health emergency response experts on topics that includedworkforce support. The experts discussed the challenge of inexperience and noted that anemergency response surge workforce was frequently based on availability rather thanappropriate skills and experience. (To support the technical and leadership needs of the surge workforce during the COVID-19pandemic in Australia, the Public Health Association of Australia and the AustralasianEpidemiological Association rapidly established a pilot mentorship programme for surgeresponders, in which mentors provided both professional and personal support to menteesremotely. (The Australian mentorship programme supported front-line pandemic surge response workersat a time of great need. The main recommendation of the evaluation was to design apurpose-built programme for supporting emergency response workers. (Fig.\u00a01.A similar programme in the Western Pacific Region, based on the experience of theAustralian programme, (Such a support programme could be used in public health emergency response both locallyand globally. It could increase the effectiveness of the workforce, add to professionalknowledge, provide less experienced responders with skills and reduce stress andburn-out. (The first objective of the WHO Global Strategy on Human Resources for Health is tooptimize the quality of performance and the impact of the workforce. ("}
+{"text": "Dear Editor,Papio papio), the name Baboon syndrome (BS) was suggested for these cases.In 1984, Andersen et al.This is the report of a 56-year-old male patient complaining of lesions on the inguinal and axillary regions that were slightly pruritic and not associated with other systemic symptoms. He reported a two-day use of paracetamol, exclusively, and a condition identical to the current one in previous exposures. Upon physical examination, well-delimited, erythematous, wine-colored lesions were observed, without signs of excoriation, with a bilateral and symmetrical distribution on the axillary, inguinocrural, gluteal regions, and lateral aspect of the thighs, including the popliteal region . HistopaTherefore, the clinical, dermatological, and histopathological data allowed the diagnosis of paracetamol-induced SDRIFE. The lesions disappeared within a few weeks after drug discontinuation and the use of topical corticosteroids.In 2011, Miyahara et al.5The pathogenesis is not completely understood, but, as in allergic contact dermatitis, the picture suggests a delayed hypersensitivity reaction mediated by T cells. A greater density of eccrine sweat glands in skinfold regions would explain their restricted or predominant manifestation in intertriginous locations, where the excretion of the sensitizing drug would precipitate the dermatosis. Treatment involves suspicion and interruption of the drugs being used. Topical or systemic steroids can speed up resolution. Case reports and identification of the triggering drug are useful from a instructive and epidemiological viewpoint.None declared.Joana Alexandria Ferreira Dias: Approval of the final version of the manuscript; design and planning of the study; critical review of the literature.Luana Moraes Campos: Approval of the final version of the manuscript; critical review of the manuscript.Juliano Vilaverde Schmitt: Approval of the final version of the manuscript; collection, analysis and interpretation of data; critical review of the manuscript.Silvio Alencar Marques: Approval of the final version of the manuscript; drafting and editing of the manuscript; critical review of the literature; critical review of the manuscript.None declared."}
+{"text": "The United States of America reports almost double the number of cancer cases relative to India that has a much larger overall population. Accurate insights into such differences in cancer rates may be provided by a better understanding of the genetic and lifestyle influences on tumor growth, progression, heterogeneity, and the underlying stressors that prompt pre-clinical dormant lesions to progress into malignant tumors, as well as by synchronizing the cancer surveillance protocols in the two countries. Toward this goal, an Indo-American Cancer Consortium was conceived. The consortium brings together global transdisciplinary teams of basic cancer researchers, oncologists, epidemiologists and surveillance experts who are well equipped with the experience, diagnostic and therapeutic tools, infrastructure and collective resources. The participating institutes include Government and non-Government organizations: Manipal Academy of Higher Education, Saroj Gupta Cancer Centre and Research Institute, and Tata Memorial Centre in India, and the Mayo Clinic Cancer Center, and University of Kentucky Markey Cancer Center in the United States. The genesis of the consortium dates back to 2017. In person visits of Markey Cancer Center teams and Mayo Clinic faculty to the cancer research institutions in India, and joint cancer conferences held in 2017 and 2018 provided strong motivation to formalize the interactions by founding this Consortium. Facilitated by monthly planning meetings beginning mid-2020 and a first retreat in December 2020, held virtually due to COVID-19 travel restrictions, the consortium has been regularly organizing various interactive sessions. These include fortnightly research presentations by faculty and trainees of participating institutions, invited guest lectures from other institutions, and a quarterly mini-symposium in topical areas of cancer. Concerted efforts to mentor the next generation of scientists saw the introduction of didactic courses in basic cancer biology, translational oncology and epidemiology, for Masters, Ph.D., Pharm.D., and MD students offered by Markey Cancer Center faculty; a certificate Program in Precision Medicine: Oncology Genomics; and a virtual tumor board to guide oncologists on treatment options for precision oncology. These activities led to organic multidisciplinary collaborations involving teams of oncologists, basic scientists, pharmacists, pathologists, and epidemiologists focused on research projects. When the travel restrictions are lifted, there will be an exchange of basic science and clinical faculty and students across the participating institutions to further foster and strengthen the partnership in cancer research and training. The consortium initiatives, supported by the parent institutions and a CRDF-Global-NCI Cancer Research Training Travel Award to exchange knowledge and enable technology transfer, have already resulted in joint peer-reviewed publications. Thus, through its multi-faceted research, education, training and outreach programs, the consortium will build infrastructure, expand capacity and strengthen global cancer research leadership and healthcare at the participating institutions.The significance of collaborative team science cannot be overstated. Unlike the days when scientists worked in silos, and laboratory bench findings were rarely translated to the clinic, the era of team science in the last few decades have underscored the value of interdisciplinary teams of investigators with diverse expertise to tackle critical questions of clinical relevance. Such an approach is particularly essential in cancer care, where, for instance, intricate details about the genetic mutations in the patient\u2019s tumor requires the combined expertise of basic and translation scientists as well as clinicians, to not only select the precise treatment for the patient but also maintain a readily available backup strategy in case the tumor develops therapeutic resistance.Cancer is the second leading cause of mortality worldwide. According to GLOBOCAN, there were an estimated 19.3 million new cancer and about 10 million cancer deaths worldwide in 2020 . In the Strategies to improve the impact of cancer research for patients have been widely discussed in India and United States over the past several decades. One confounding factor that restraints progress is the complexity of the disease associated with significant biological heterogeneity among cancer patients with diverse genetic predisposition, lifestyle, and environmental factors. Another impediment is the translation of basic research findings imposed by structural, financial and logistic limitations in facilitating interactions and workflow from the laboratory to the clinic. Some of these issues can be addressed by cohesive multi-disciplinary teams of basic and translational scientists and oncologists working together through multi-institutional cooperation to develop bench-to-bedside projects complemented by epidemiology data and community outreach efforts. Such teams are likely to be more effective in motivating scientific and administrative policy decisions that positively impact patient care. Based on this ideology, the Indo-American Cancer Consortium was formed by academic institutions in India and the United States. These institutions include Manipal Academy of Higher Education (India), Markey Cancer Center, University of Kentucky (USA), Mayo Clinic Cancer Center (USA), Saroj Gupta Cancer Centre and Research Institute (India) and Tata Memorial Centre (India).This is the first collaborative initiative involving multiple government-supported and non-government cancer centers from India and the United States. The purpose of this consortium is to develop meaningful collaborations among the participating faculty of the cancer centers in key areas of cancer research and treatment, education, and community outreach activity. The partnership is expected to bring together stakeholders with interest in basic cancer biology, translational and precision oncology, cancer prevention programs and public health policy related to cancer. The consortium has identified several thematic areas to allow physicians, scientists, health care workers, and trainees to work together toward the common agenda of cancer research, education, and healthcare. The research collaboration of the cancer centers leverages each institution\u2019s strengths to develop premier research programs focused on key types of cancers that are most prevalent in the United States and India. Even though the interactions are primarily academic, the participating institutions have entered into a mutually acceptable confidentiality agreement to protect intellectual property. Any exchange of research materials is conducted under separate inter-institutional Material Transfer Agreements. This format enables the collaborations to jump-start without initial impediments, and a more involved Memorandum of Understanding (MoU) is developed based on the scope of each project.Working together, the cancer centers in the consortium form an integrated interdisciplinary network. Strong inter-institutional cooperation, cutting edge research concepts and state-of-the-art research infrastructure provide an excellent environment for translational and clinical research, as well as for mentoring of MSc, PhD, PharmD, and MD trainees and junior faculty. The consortium focuses on three themes: Theme 1, Cancer Biology; Theme 2, Translational Oncology; and Theme 3, Cancer Epidemiology, Surveillance, and Community Outreach, and brings together over 30 faculty with active research programs in basic science, clinical and translational research, and public health sciences related to cancer. The consortium faculty are chosen for each theme using criteria that include the strength of their research programs, history of mentoring domestic as well as international students and postdoctoral fellows, activity in co-publishing with other program faculty, and most importantly, passion to facilitate multidisciplinary training in global cancer research.The research aims incorporate plans to: (1) Identify critical signaling molecules, pathways, and mechanisms (Basic Sciences); (2) Discover new compounds and repurposed drugs that target key proteins involved in treatment resistance and discover biomarkers for treatment response ; (3) Develop new or repurposed drugs, or combine existing drugs for clinical trials ; (4) Enhance cancer surveillance and conduct cancer disparities research to promote cancer prevention behaviors . These aims support the objectives of: (a) Mentoring the next generation of medical oncologists interested in academic careers in cancer to become active participants in interdisciplinary cancer research; (b) Enhancing the academic and clinical success of clinicians, scientists, and research faculty; (c) Providing life science, cancer biology or pharmacy track students the requisite didactic training in the basic science of cancer and translational science of cancer biology and epidemiology including opportunities for interaction with clinicians/oncologists; (d) Strengthening global cancer research leadership and mentorship at the participating institutions.Prior visits of Markey Cancer Center teams and Mayo Clinic faculty to the cancer research institutions in India, and the intellectually stimulating breast cancer conferences organized jointly by the Markey Cancer Center, Manipal Academy of Higher Education and Tata Memorial Center in 2017 and 2018 provided the impetus to formalize the interactions by founding the Indo-American Cancer Consortium. The consortium activities started in mid-2020 and were facilitated by monthly virtual planning meetings. These interactions led to the first retreat in December 2020, held virtually due to COVID-19 travel restrictions, that provided an overview of the structure, organization, and programs at each of the participating cancer centers, an introduction to faculty research programs, and the consortium action plan. Since then, the consortium has been regularly organizing the following events:i) Research presentations by faculty and students of participating institutions (oncemonthly). ii) Thematic mini-symposium (occurring quarterly). iii) Featured seminar series with invited guest speakers (once monthly). iv) Didactic courses in: (1) Basic Cancer Biology, and (2) Translational Oncology andEpidemiology, for Masters, Ph.D., Pharm.D., and MD students. v) Certificate Program in Precision Medicine: Oncology Genomics for faculty atparticipating institutions; vi) Virtual tumor board meetings and discussions on tumor next-generation sequencingdata to guide oncologists on treatment options for Precision Oncology. vii) Multidisciplinary team collaborations \u2013 small group meetings involvingoncologists, basic scientists, pharmacists, pathologists, and epidemiologists todevelop focused research projects. viii) Scheduled exchange of faculty and students next year to further strengthen thepartnership in cancer research and training.The impact of the consortium is already apparent in the number of MSc, PhD, PharmD, and MD students from Manipal Academy of Higher Education, Saroj Gupta Cancer Center and Research Institute, and Tata Memorial Center registered for academic credit in cancer biology, epidemiology and therapy courses offered by the Markey Cancer Center; a CRDF-Global-NCI Cancer Research Training Travel Award to train consortium scientists from India at cancer centers in the United States; and joint research publications -10. The"}
+{"text": "Following publication of the original article two errobold.The incorrect and correct information is listed below; the changes are shown in Abstractsignificant decline in sharp-curettage , and a decline in the duration of hospitalization of patients admitted for PAC .The implementation of PAC strategy in Kinshasa referral hospitals has resulted in the utilization of WHO recommended uterine evacuation method MVA , a Plain English summarysignificant decline in sharp-curettage , and a decline in the duration of hospitalization of patients admitted for PAC .The implementation of PAC strategy in Kinshasa referral hospitals has resulted in the utilization of WHO recommended uterine evacuation method MVA , a Abstractnon-significant decline in sharp-curettage , and a decline in the duration of hospitalization of patients admitted for PAC .The implementation of PAC strategy in Kinshasa referral hospitals has resulted in the utilization of WHO recommended uterine evacuation method MVA , a Plain English summarynon-significant decline in sharp-curettage , and a decline in the duration of hospitalization of patients admitted for PAC .The implementation of PAC strategy in Kinshasa referral hospitals has resulted in the utilization of WHO recommended uterine evacuation method MVA , a"}
+{"text": "Aging in Latin America is occurring rapidly, in a context of high levels of poverty and inequality. This symposium is focused on population health and the heath-disparities found in some of Latin America\u2019s largest middle-income countries, Mexico, Brazil, and Colombia. This symposium contains presentations on different health-related issues affecting older adults, which can have further implications for wellbeing, health, and disease risk. The papers in this symposium examine a variety of health-related dimensions and disparities among older Latinos that include physiological functioning, cognition, and oral health. Using the Mexican Health and Aging Study (MHAS), Sheehan investigates the associations between personal and familial educational attainment on sleep quality. Also using MHAS, Milani. Using data from the Brazilian Longitudinal Study of Aging, Farina examines the relationship between race and cognition. Garcia uses data from the Colombian Survey of Health, Well-Being, and Aging to study the relationship between Motor Cognitive Risk Syndrome (MCRS) and cognition and frailty. Using the same dataset, Osuna examines variation in oral health in Colombian older adults and the impact this has on their wellbeing. Results indicate which population subgroups in Latin American have increased risk for poorer health and which dimensions of health have gender, race and socioeconomic disparities. The findings highlight the importance of understanding the conditions under which Latin American older adults are aging and the implications this can have in the future."}
+{"text": "In parallel, Bangladesh Medical Research Council (BMRC) has announced the launch of \u2018Bangladesh Cancer Genome Atlas (BCGA) project with support from the ICGA teams. Teams from United States - National Cancer Institute (NCI) office of TCGA and Centre for Global Oncology, Institute of Cancer Research, London, United Kingdom are interested in extending their collaborations to these large-scale initiatives by acting as knowledge partners.The Cancer Genome Atlas (TCGA) is a landmark cancer genomics program that molecularly characterized over 20,000 primary cancer and matched normal samples spanning 33 cancer types. On similar lines, the establishment of an nd TCGA conference and workshop in India was organised with the theme of \u2018Towards Team Science for Multi-omics Studies in South Asia\u2019 on December 3\u20135, 2020. Over 1,500 delegates comprising of onco-clinicians, basic researchers, bioinformaticians, geneticists, translational researchers, big-data and machine-learning scientists, bioethicists and regulatory experts from across the globe attended the event. The conference agenda focused on the vision, design and plans of the ICGA project with regards to common standard operating protocols (SOPs), operations, logistics, bioethics, policy and governance models. More importantly, conference sessions were planned around the central theme of building a culture of team science for undertaking mega-cancer research projects in India and neighbouring countries. Experts from the globe deliberated on the latest technical aspects of data/biospecimen/multi-omics studies and applications of Precision Oncology in clinical cancer management.With this background, an online version of the 2 Over the last 15 years, The Cancer Genome Atlas (TCGA) program has characterized over 20,000 primary cancers and matched normal samples across 33 cancer types. By networking interdisciplinary researchers from across the world, TCGA has generated a massive 2.5 petabytes of genomic, epigenomic, and transcriptomic data. These data, not least through their publicly availability, have already led to significant and potential translatable benefits in the diagnosis, treatment, and prevention of cancer. The importance of the project and its participants was recently recognized with the prestigious 2020 American Association of Cancer Research \u2018Team Science Award.\u2019There are an estimated 800,000 new cancers cases in India each year and, recTo this end, the \u2018Indian Cancer Genome Atlas (ICGA)\u2019 was initiated in 2020 by forming a national consortium of government agencies, cancer hospitals, academic institutions, and private sector partners in India, led by the Council of Scientific and Industrial Research (CSIR). The ICGA will be a long-term collaborative effort between cancer scientists, basic researchers, onco-clinicians, data scientists, and technology providers to facilitate precision medicine and improve translational cancer research in India.The ICGA\u2019s mission is to create an indigenously developed, open-source, comprehensive database of multi-omics profiles of all possible cancers in Indian populations. The goal is the genomic, transcriptomic, epigenetic, and proteomic characterization of Indian cancers using advanced, next-generation multi-omics technologies. High quality meta-data of cancer patients and their biospecimens will be carefully and ethically collected from across the country. After standardized multi-omics profiling, data will be curated and analyzed in clinicopathological contexts, with the curated databases open-sourced to the Indian and global cancer research communities. To facilitate the uniformity, sanctity, and integrity of the meta-data and biospecimens collected from across India, a pan-India consortium of partners will operate as a \u2018hub-and-spoke\u2019 model in the form of the not-for-profit ICGA Foundation.-National Cancer Institute\u2019s (US-NCI) TCGA has formally agreed to serve as a knowledge partner and will provide technical, operational, troubleshooting, and quality assurance expertise to the ICGA. The Institute of Cancer Research (ICR), UK has formally agreed to help generate and analyze the data and share the data in real-time in a public database.The USAst TCGA conference organized in 2019 in India with the theme of \u201cMulti-omics Studies in Cancer: Learnings from The Cancer Genome Atlas (TCGA)\u201d. In addition to discussing the global trends in multi-omics research, the conference proceedings were focused on the need for developing a national mission program for multi-omics profiling of Indian cancer. These discussions laid the foundation of the ICGA project.The 1nd TCGA 2020 conference was organized in a virtual and online format to discuss these five main domains of the ICGA project. Highlighting governmental support for the conference and the ICGA, the Hon\u2019ble Dr Harshavardhan presented the conference keynote address. In his keynote address, Dr. Jean Claude Zenklusen shared his experiences of the genesis and implementation of TCGA and highlighted the need for a multi-disciplinary team approach for success of the ICGA.With this background, the 2There was strong multidisciplinary interest in the conference, with over 1500 delegates representing basic science, translational and clinical research, genomics, bioinformatics, biostatistics, and computational science and biology from academia, clinical medicine, industry, and governmental agencies. Delegates attended remotely from 36 countries around the world.The event was held over three days: (1) a one-day hands-on pre-conference workshop, where TCGA experts mentored attendees on various aspects of TCGA data mining; (2) conference presentations discussing global trends in multi-omics cancer research, particularly with respect to the technical aspects of clinical multi-omics studies and applications of precision oncology in the clinic; and (3) a full day of discussion between key ICGA stakeholders on the vision, design, and implementation of the ICGA with regards to common standard operating procedures, operations, logistics, and governance models. The conference sessions were planned around the central theme of building a culture of team science for undertaking mega-cancer research projects in India and neighboring countries.nd TCGA conference laid the foundation for the ICGA, and there was a wide consensus that the ICGA consortium will unite diverse expertise in cancer research in India and beyond. Given the high prevalence of breast cancer and unanswered questions around clinicopathological features of the disease in Indian women, the ICGA will begin its efforts with the large-scale multi-omics profiling of breast cancer patients in India. With this focus, the ICGA will develop and validate all protocols and ethical guidelines for subsequent sharing with the entire consortium to ensure uniform data generation and quality. It is anticipated that the economy of scale of the meta-analysis of all cancer data generated in India will help deliver cost-effective cancer research and accelerate bench-to-bedside translation to significantly positively impact the overall cancer burden in the country.The 2In an encouraging development, and motivated by the ICGA project, the Government of Bangladesh has also announced the creation of a Bangladesh Cancer Genome Project (BCGP) modeled on the TCGA and ICGA programs. This partnership will see two parallel large-scale cancer genomic projects span the Indian sub-continent to cover large populations in South Asia.nd TCGA 2020 Conference brought together the global cancer research community through a common goal to accelerate multi-disciplinary, collaborative, and nationwide initiatives in South Asia, which promises to transform clinical cancer research across the region. The 3rd TCGA Conference in 2021 will report progress on the ICGA and BGCP projects. Overall, these efforts are anticipated to deliberate on the emerging trends in precision oncology in the developing world.The 2The conference proceedings were partially funded by Bajaj Auto Ltd and DBT-Wellcome Trust India Alliance.The authors have no conflicts of interest."}
+{"text": "Personal stories provide insight into the experience of illness as it intersects with one\u2019s identity. Prior studies by the first author examined identity as manifested in personal accounts of U.S. World War II veterans with and without dementia. The current study examines identity as revealed through written memoirs of middle-aged and older adults who have aphasia, from a cross-section of North American, European, and Australian cultures. The abrupt onset of stroke and associated aphasia, and the subsequent path toward re-engagement in life with an often-chronic communicative impairment, provide a unique window into the nature and evolution of the identity of the writer. The written modality offers an opportunity for reflective formulation that is not afforded to the memoir-writers in their verbal expression. Nineteen memoirs and biographical accounts of individuals with aphasia from a range of primarily individualistic cultures were examined for content reflective of the identity of the author, focused on post-stroke phases of restitution and quest. Primary authors were people with aphasia or rarely their close family member. Some were professional editors, poets or authors. Gender and life backgrounds were varietal. Manifestations of personal identity, its reinforcement, and its evolution were evidenced in: the provision of lessons learned from living with aphasia; content of letters exchanged with friends; engagement with family in life and recovery; fictional and poetic expression; spiritual insight; renewed or altered occupational pursuits; and comments on facing one\u2019s mortality. Findings hold implications for the cross-cultural practice of narrative medicine with the older adult population."}
+{"text": "The National Institutes of Health (NIH) recognizes that, despite HIV scientific advances, stigma and discrimination continue to be critical barriers to the uptake of evidence-based HIV interventions. Achieving the Ending the HIV Epidemic: A Plan for America (EHE) goals will require eliminating HIV-related stigma. NIH has a significant history of supporting HIV stigma research across its Institutes, Centers, and Offices (ICOs) as a research priority. This article provides an overview of NIH HIV stigma research efforts. Each ICO articulates how their mission shapes their interest in HIV stigma research and provides a summary of ICO-relevant scientific findings. Research gaps and/or future opportunities are identified throughout, with key research themes and approaches noted. Taken together, the collective actions on the part of the NIH, in tandem with a whole of government and whole of society approach, will contribute to achieving EHE\u2019s milestones. Stigma and discrimination are human rights and public health issues in the United States and worldwide. They are among the most ubiquitous and consequential challenges to successful HIV prevention, treatment, and care \u20134. HIV-rRecognizing that preventing and reducing HIV-related stigma is a critical part of fighting the HIV pandemic and a key aspect of ending the HIV epidemic in the United States, the National Institutes of Health (NIH), an agency under the U.S. Department of Health and Human Services (HHS), designates HIV-related stigma research as a cross-cutting research priority in its HIV research program. This article discusses the NIH\u2019s approach to, and investment in, this priority area and its relevance to the Ending the HIV Epidemic: A Plan for America (EHE) initiative .The mission of the NIH is to seek fundamental knowledge about the nature and behavior of living systems and the application of that knowledge to enhance health, lengthen life, and reduce illness and disability.Within that mission, NIH has a robust and structured HIV research program that strives to advance rigorous and innovative research to end the HIV pandemic and improve the health of people with, at risk for, or affected by HIV across the lifespan .NIH has a significant history of supporting HIV-related stigma research across its Institutes, Centers, and Offices (ICOs) as a fundamental and cross-cutting research priority. Below is a brief overview of HIV-related stigma and discrimination research efforts NIH ICOs are leading and undertaking.Stigma is a key research area within the NIH HIV Research Program as stated in the FY 2021 \u2013 2025 NIH Strategic Plan for HIV and HIV-Related Research and as rThe Lancet on developing a research agenda to address stigma and global health ) , 12.Journal of the International AIDS Society (JIAS) a series of papers examining the state of the science and identifying the key gaps in measurement, methods and intervention research [In 2013, NIMH and partners published in the In 2016, the White House Meeting on HIV Stigma was convened by the NIH Office of AIDS Research (OAR), the National Institute of Mental Health (NIMH) and the Office of National AIDS Policy (ONAP) . The meeBMC Medicine in 2019. The 2017 workshop also helped inform the design and launch of FIC\u2019s new grant program in 2018, Reducing Stigma to Improve HIV/AIDS Prevention, Treatment and care in Low- and Middle-Income Countries (LMICs) (PAR-18-732 and PAR-19-326), which encourages multi-level intervention and measurement research, as well as the examination of HIV comorbidities/coinfections and intersectionality [In 2017, FIC and NIH partners hosted a three-day workshop in 2017 entitled \u201cThe Science of Stigma Reduction: New Directions for Research to Improve Health .\u201d Sixty ionality .In 2018, NIMH and NIH partners released the PRISM three RFAs (RFA-MH-19-410/411/412), Promoting Reductions in Intersectional StigMa (PRISM) to Improve the HIV Prevention Continuum . This RFIn 2020 and to date, NIH continues its investments in HIV-related stigma research and spearheading such key activities as the NIH OAR and NIMH sponsored 3-phase virtual workshop on HIV-related intersectional stigma and discrimination held in 2020 , its ongIn 2020, the National Institute on Drug Abuse (NIDA) and NIMH issued two RFAs (RFA-DA-21-001/002), under the title \u201cReducing Stigma Related to Drug Use in Human Service Settings.\u201d These RFAs supported early stage, domestic intervention trials or pre-intervention research to reduce stigma in the context of HIV prevention and care .The Office of the NIH Director (OD) is the central office at NIH for its 27 Institutes and Centers (ICs). The OD is responsible for setting policy for NIH and for planning, managing, and coordinating the programs and activities of all the NIH components. OD program offices include the OAR among others within the OD\u2019s Division of Program Coordination, Planning, and Strategic Initiatives (DPCPSI).NIH has 27 ICs, the majority of which have dedicated HIV research investments. ICOs undertake HIV research activities both independently and in partnership with other NIH ICOs and non-NIH stakeholders.The NIH OAR is an Office in the NIH OD within DPCPSI . OAR oveOAR actively initiates and develops cross-collaborations with stakeholders to inform and advance HIV prevention and treatment science, including the assessment of the impact of stigma on efforts to address HIV. The OAR has championed an HIV-related stigma research agenda, which has more than doubled since FY2015, with expanded research across the ICOs. OAR collaborates closely with HHS agencies including the Centers for Disease Control and Prevention (CDC), HRSA, Indian Health Service (IHS) and Substance Abuse and Mental Health Services (SAMHSA), as well as other strategic federal and bilateral partners such as the President\u2019s Emergency Plan for AIDS Relief (PEPFAR) and the Joint United Nations Programme on HIV/AIDS (UNAIDS) to expand the impact of HIV-related stigma research. These collaborations involve strategies to measure and monitor stigma both nationally and internationally, sharing of plans and activities to address stigma among underserved populations, and discussions about how to fill gaps in the HIV-related stigma and discrimination research agenda. OAR seeks input from, and collaborates with, academic institutions and community members through dynamic listening sessions conducted across the U.S., and recently in international settings. The overall purpose of these listening sessions is to increase engagement with a diverse set of stakeholders representing various organizations, groups, populations, and individuals from the research, public health, and HIV-affected communities in order to enhance the framing of emerging, or unaddressed, issues to initiate new approaches and solutions. HIV-related stigma has been a recurring theme across listening sessions in all settings in recent years. In addition, focused conversations with local community constituents involved with HIV programs and services have provided a range of perspectives that contribute to building an extensive HIV stigma research portfolio. The OAR has also conducted HIV-related stigma scientific briefings as part of a series it conducts for NIH science staff on prescient HIV issues and research topics.The NIH HIV-related stigma research portfolio includes projects currently underway that support the EHE initiative goals to drive HIV incidence down by 75% by 2025 and 90% by 2030 . These iThe NIH Office of Behavioral and Social Sciences Research (OBSSR) was estaOver the course of the HIV epidemic, research-informed knowledge about HIV, early public disclosures of HIV status, destigmatization efforts by public figures, and community-driven advocacy campaigns collectively have contributed to both changes in HIV-related stigma and behavior changes , 29. HisThe NIH Office of Research on Women\u2019s Health (ORWH) serves a-OD-20-048) to facilitate the inclusion of U3 women and rigorous research on questions relevant to the health of women, including populations of women that experience stigma and health disparities or are otherwise socially or medically vulnerable [ORWH supports multidimensional, intersectional approaches to understanding and mitigating HIV-related stigma, as stigma manifests differently across cultural contexts and social settings. In the U.S., a disproportionate number of women diagnosed with HIV are members of ORWH-defined understudied, underrepresented, and underreported (U3) populations, including rural women, transgender women, women living at/near/below the poverty line and Black and Latina women \u201336. Recolnerable .2019\u20132023 Trans-NIH Strategic Plan for Women\u2019s Health Research [EHE will require the inclusion of women as a matter of scientific rigor, health equity, and policy planning. The Research describeThe NIH Sexual and Gender Minority Research Office was established in 2015 to coordinate, support, and help develop NIH-wide research and related efforts that advance the health of sexual and gender minorities (SGMs) . Many diSGMs are also disproportionately affected by certain health conditions and diseases . There aThese issues highlight the urgent need to improve existing paradigms and develop novel strategies to tackle health-related concerns and disparities stemming from or exacerbated by stigma related to HIV and SGM status and achieve health equity for all SGMs. There are significant data and training gaps on HIV stigma in SGM populations. This could be addressed, at least in part, through expanded collection of data on sexual orientation, gender identity, and sex (particularly with regard to intersex people and people with differences in sex development) in HIV-related stigma research, as well as in relevant research efforts in HIV and stigma individually. There is a concerning dearth of HIV, stigma, and HIV-related stigma research focusing on those SGM subgroups currently most affected by HIV . There is also a need to adapt and create stigma measures focused on and appropriate for members of the SGM community, incorporating their input wherever possible. In addition, SGM-specific cultural competency training for those who conduct research in HIV stigma-relevant fields and/or who provide healthcare to SGMs is crucial for avoiding further stigmatization and encouraging engagement in both areas by SGM people. Finally, SGMs comprise a highly diverse and heterogeneous community. Intersectional research that incorporates individual and structural factors is necessary to attend to the many dimensions that may contribute to or help ameliorate the impact of HIV stigma in SGMs. Pursuing these opportunities could greatly improve the health and well-being of SGM people facing HIV stigma. SGMRO is taking a leadership role in educating the NIH ICOs on these issues, promoting HIV-related stigma research through OD-level SGMRO initiatives, and in partnering with other ICOs in this important area.The Offices discussed above are noteworthy for their involvement and investments in HIV-related stigma research. These and other activities and partnerships are taking place among and across the OD offices. One example of this is the NIH Office of Disease Prevention (ODP) . HIV-relNIMH mission is to transform the understanding and treatment of mental illnesses through basic and clinical research, paving the way for prevention, recovery, and cure. The NIMH Division of AIDS Research interest in HIV-related stigma research and discrimination has been shaped by NIMH\u2019s emphasis upon basic behavioral and social science research, and NIH OAR\u2019s emphasis upon ending the HIV pandemic and improving health outcomes for people living with HIV , 51. NIMNIMH-funded research has advanced stigma models, measurement, mechanisms of action and interventions. A groundbreaking HIV stigma model led by Turan and colleagues is not only recognized in the HIV stigma research field, but it is also being adapted and applied to other health-related stigmas . A greatIn 2018, NIMH aimed to harness new tools and frameworks that move beyond a single focus on HIV stigma to examine HIV-related intersectional stigma and discrimination. A new funding opportunity announcement, \u201cPromoting Reductions in Intersectional StigMa (PRISM) to Improve the HIV Prevention Continuum (RFA-MH-19-410/411/412)\u201d was launched, which resulted in eight research awards funded by NIMH and NIH partners . NIMH alFICs mission is to support and facilitate global health research conducted by U.S. and international investigators, to build partnerships between biomedical research institutions in the U.S. and foreign countries, and to train the next generation of scientists to address global health needs . Over thAdditionally, it is also widely recognized that stigma is a global phenomenon and affects individuals across geographic locations, cultures, social structures and health statuses with the same effects on PLWH. Recognizing this need to break the cycle of HIV transmission by counteracting stigma, FIC initiated a new program, \u201cReducing Stigma to Improve HIV/AIDS Prevention, Treatment and Care in Low and Middle- Income Countries (R21)\u201d in 2017 to stimulate research to develop interventions to reduce HIV-related stigma and its impact on the prevention and treatment of HIV and on the quality of life of PLWH . To dateGiven the similarities between some LMICs and high-burden U.S. settings targeted by EHE initiative, and the similarities among stigma-related issues across global contexts, the research and research capacity building portfolio initiated for HIV-related stigma in LMICs can offer valuable lessons to the stigma research community in the U.S. and inform the EHE efforts. Over the past few years, FIC has collected case examples of interventions developed abroad that have been successfully transferred from LMICs to the U.S., with a focus on understanding the scientific processes by which these interventions have been adapted. In October 2020, FIC hosted a webinar titled \u201cTransferring HIV and Stigma Reduction Interventions from LMICs to the U.S.,\u201d which provided the scientific community with lessons learned from abroad, frameworks for intervention transfers, and key barriers and facilitators to HIV stigma-reduction research and implementation . The actThe National Heart, Lung, and Blood Institute's (NHLBI) mission is to promote the prevention and treatment of heart, lung, and blood diseases and enhance the health of all individuals. One of its strategic vision seeks to advance translational research and optimize clinical and implementation research to improve health and reduce disease for all, including stigmatized populations of PLWH and across the translational spectrum of HIV comorbid diseases . To addrCardiovascular healthcare disparities in vulnerable, underserved populations of PLWH worsen when they suffer from stigmas related to individual factors and social determinants. The intersections of multiple marginalized identities and multiple social positions of disadvantage affect the health of Blacks, Indigenous people, and people of color (BIPOC) who are also sexual and gender minorities , 101. AsAlthough HIV, mental illness, and physical disability health status intersect with other forms of stigma related to social identities such as race, gender, and sexuality \u2013110, litThe National Institute of Allergy and Infectious Diseases (NIAID) mission is to support basic and applied research to better understand, treat, and ultimately prevent infectious, immunologic, and allergic diseases. Its HIV research priorities include development of new HIV prevention, treatment, and cure products and strategies . The HIVSeveral key HIV prevention studies have illuminated the fact that HIV-related stigma is a powerful motivator for behavior, even in the more controlled setting of clinical trials. The results of the VOICE trial (MTN 003), which was testing Truvada daily oral pills, Tenofovir daily oral pills, and Tenofovir vaginal gel used daily in women for use as PrEP made very clear that HIV-related stigma played a significant role in participant behavior in the trial . One reaNIAID funds HIV clinical trial networks and the Centers for AIDS Research (CFAR) focused on Improving of HIV treatment, prevention, and cure . These nEunice Kennedy Shriver National Institute of Child Health and Human Development. Leads research and training to understand human development, improve reproductive health, enhance the lives of children and adolescents, and optimize abilities for all [The for all . In 2020 for all . In addiScientific findings of NICHD HIV stigma research address our U.S. populations of interest through several different areas, including disclosure, family planning, healthcare transition, and technology. As willingness to disclose HIV status is often negatively associated with misconceptions about HIV transmission and stigma, interventions to support caregivers and families with the disclosure process address such barriers . RelatedFuture directions for NICHD HIV stigma research will continue to leverage several ongoing research programs and networks to improve HIV health outcomes among NICHD populations of interest. For example, the Adolescent Medicine Trials Network for HIV/AIDS Interventions (ATN) is the only domestic, multicenter research network devoted to the health and well-being adolescents and young adults at risk of and with HIV. Intended to support coordinated research efforts amongst investigators, community-based partners, and youth and young adults, the ATN develops, implements, and adapts its research agenda to respond to the HIV epidemic in the United States, including the role of stigma in HIV transmission. NICHD will continue to utilize such programs and databases to further its work in the area of HIV-related stigma research.The mission of the National Institute of Dental and Craniofacial Research is to improve dental, oral, and craniofacial (DOC) health . Across It is clear that unmet dental needs are a common challenge among people living with HIV, and the likelihood of an individual having an unmet dental need seems to increase with time since HIV diagnosis . Among oAcross the healthcare system, there is immense need for structural, social, and behavioral approaches that maximize the uptake of currently available tools for the prevention and treatment of HIV. Stakeholders in the dental community have long recognized potential roles for dental care providers in reducing the burden of HIV, though research and clinical practice have been slower to realize that vision. In an effort to advance research in this area and accelerate improvements in clinical practice, NIDCR has developed a new initiative to support research on how to optimally engage the dental workforce in meeting the unique needs of individuals living with or at risk of contracting HIV . Each ofNational Institute of Diabetes and Digestive and Kidney Diseases (NIDDK) mission is to conduct and support medical research and research training and to disseminate science-based information on diabetes and other endocrine and metabolic diseases; digestive diseases, nutritional disorders, and obesity. Several health conditions addressed by the mission of NIDDK are associated with stigmas that often have negative impacts on psychosocial, educational, professional, and healthcare outcomes . Most noHow stigma associated with HIV impacts the development, exacerbation, and effective management and treatment of CCCs within NIDDK\u2019s mission remains poorly understood and needs to be better elucidated. There are several significant areas that could be explored. For example, stigmas often interact and, as discussed above, CCCs may be associated with specific stigmas of their own. Moreover, research focused on specific vulnerable populations needs to address how rather societal stigmas interact with the stigmas associated with HIV and CCCs. Understanding these pathways is a critical component of EHE, since PLWH with poorly managed CCCs may have poor patient engagement related to viral load monitoring and adherence to antiretroviral therapy. For example, NIDDK issued a research announcement with a focus on how societal factors, environmental barriers, and/or stigmas intersect with food insecurity and/or interventions for food insecurity in the context of CCCs, especially in vulnerable populations such as racial or ethnic minorities, sexual or gender minorities, sex workers, unaccompanied youth, older people, people with disabilities, rural residents, or people living alone .The National Institute on Drug Abuse\u2019s mission is to advance science on the causes and consequences of drug use and addiction and to apply that knowledge to enhance individual and public health including efforts to improve the prevention and treatment of substance use disorders . Stigma NIDA recognizes that drug use-related stigma is common in healthcare, social service and other settings related to HIV prevention and care and the drug use field has long acknowledged the presence of stigma as a barrier to adequate participation in prevention and care services, including those directed at HIV. Stigma in human service settings and self-stigma among PWUD can lead to insufficient access to substance use disorder treatment and harm reduction, as well as insufficient access to screening and care for co-occurring disorders such mental illness and HIV . ProvideStigma and Global Health conference that identified gaps in disease-associated stigma research and FIC-led program announcements to stimulate new research [NIDA is committed to informing and assisting EHE and other public health efforts through developing HIV stigma reduction interventions; supporting pilot, feasibility, implementation, and other studies; and testing new or adapted interventions to reduce stigmas that impede the effective provision, uptake, and utilization of HIV care and prevention services . The Insresearch . NIDA alThe National Institute on Minority Health and Health Disparities leads scientific research to improve minority health and reduce health disparities HIV/AIDSNIMHD understands that stigma related to HIV, race/ethnicity, and SGM status ultimately contributes to and maintains HIV disparities through its manifestations at the structural and individual levels; and it is a barrier to the prevention, care and treatment of HIV. NIMHD-funded stigma research has focused on the impact of intersectional stigma and other social determinants of health as they relate to HIV prevention, care and treatment for our populations of interest. We have also focused our attention on patient-clinician interactions and stigmatizing attitudes and beliefs held by health care providers; and interactions of cultural attitudes. In addition, NIMHD supports measurement research on SGM-related constructs, including intersectional and structural stigma and discrimination.NIMHD is focusing future research on interventions to prevent HIV in health disparity populations in geographic areas with high rates of new infections. Future directions for NIMHD include research initiatives that focus on the role of structural stigma and discrimination in causing and sustaining health disparities; as well as interventions to reduce stigma and discrimination.The National Institute of Nursing Research\u2019s mission is to promote and improve the health of individuals, families, and communities . This brLove, Sex and Choices which follows the lives of five women navigating relationship scenarios against a text messaging control [NINR supported the development and clinical trial of a digitally-delivered, private HIV education intervention that draws on the experiences of African American and Latina women living in urban U.S. cities. Investigators developed and tested a streaming, web-based intervention called control . The int control \u2013149. Ano control . The stu control . The int control .Looking forward, NINR recently awarded several research projects focused on the development and testing of community health worker strategies to improve self-management and durable viral suppression among people living with HIV who are out of care or struggling to maintain daily medication routine leading to viral suppression. The initiative is supported through OAR strategic funds and the research is in a geographically diverse set of EHE jurisdictions . As thisThe ICs discussed above are noteworthy for their involvement and investments in HIV-related stigma research. HIV-related stigma research activities and collaborations are taking place among and across these and other NIH ICs, at times with the involvement of OD offices as well. These partnerships and collaborations have and are strengthening the range and depth of the HIV-related stigma research being conducted at the NIH.Achieving EHE\u2019s goals will require a whole-of-society effort. As part of this, EHE is leveraging\u00a0critical scientific advances in HIV prevention, diagnosis, treatment, and care by coordinating the highly successful programs, resources, and infrastructure of many HHS agencies and offices, including the NIH.Developing and testing adaptations to improve interventions that have demonstrated efficacy in reducing HIV-related stigma and improving HIV outcomes across relevant settings, including health and public health contexts involved in HIV prevention and care services;Developing and testing interventions that address self-stigmas that impede people\u2019s use of HIV prevention or care services;Training healthcare, social service, and other providers during key points in their professional development, including their professional or specialty training to adopt non-stigmatizing approaches;Developing and testing interventions that enable AIDS and other service organizations to address potential sources of stigma and increase their reach of HIV prevention and care;Developing organizational or structural intervention approaches to reducing HIV-related stigma and improve HIV outcomes;Evolving the understanding of and interventions for HIV-related intersectional stigma and discrimination; and,Advancing new approaches to address multi-level factors that foster stigma and impede the use of HIV prevention and care services.Within this effort, it is recognized that HIV-related stigma is a dynamic and ubiquitous factor that must be considered and addressed in its many forms if EHE and other local and national efforts like it are to fully and robustly succeed. Given that HIV-related and other stigmas can occur at the individual, interpersonal, organizational and/or structural levels, and can be intersectional, there is still much to learn and to address. Key approaches the NIH is taking in the name of HIV elimination in the U.S. and around the world that specifically entails foci on HIV-related stigma include:Reducing HIV-related stigma and discrimination in healthcare settings;Improving communication competencies, integration of community voice and leadership, and partnership engagement overall;Taking whole person and whole society approaches;Understanding and addressing the challenges and needs of the stigmatized and those who stigmatize;Recognizing and addressing the impact of socio-structural dynamics and psychological factors driving HIV-related stigma;Improving models, measures, and mechanisms; andUnderstanding HIV-related stigma in context of other social determinants of health.As noted throughout this article, areas and themes needing further research, intervention, and implementation include:In closing, the broad span of the federal government itself has a role in addressing HIV as well as other stigmas and discrimination. Across the federal government, multiple agencies play a role in enforcing federal civil rights protections, providing technical assistance for carrying out the mandates of the American for Disabilities Act and other laws, and developing and disseminating information about civil rights and protections. While some Departments have authority to enforce these protections, nearly all can disseminate relevant information about protecting the rights of persons living with HIV and to take steps to confront and reduce HIV-related stigma.These actions on the part of the NIH, in tandem with the needed whole of government/whole of society approach, will contribute to achieving the EHE milestones and 2030 goal as well as work towards fulfilling the National HIV/AIDS Strategy: Updated to 2020 vision, that \u201cThe United States will become a place where new HIV infections are rare and when they do occur, every person regardless of age, gender, race/ethnicity, sexual orientation, gender identity or socio-economic circumstance, will have unfettered access to high quality, life-extending care, free from stigma and discrimination .\u201d And as"}
+{"text": "The cerebroplacental ratio (CPR) is an important index for predicting adverse pregnancy outcomes in small-for-gestational-age and appropriate-for-gestational-age fetuses.To find out whether there is an association between the CPR level and the blood cord gases analysis in appropriate for gestational age fetuses.This cross-sectional study included 347 pregnant women at the gestational age of 37-40 wk. Patients had an appropriate-for-gestational-age fetus confirmed from their first ultrasonography results. Participants were divided into two groups based on their CPR, measured before delivery. Finally, after delivery, arterial blood gas level and the incidence of emergency cesarean section, intrapartum fetal distress and neonatal intensive care unit admissions were compared between the two groups.Fifty-four (15.6%) cases had a CPR below the detection limit of the assay. The incidence of fetal distress, emergency cesarean section, neonatal hospitalization in the neonatal intensive care unit, and pH The third-trimester CPR is an independent predictor of stillbirth and perinatal mortality and morbidity. The role of UA/MCA Doppler and the CPR in assessing the risk of adverse pregnancy outcomes should be evaluated prospectively. The cerebroplacental ratio (CPR) is an important index for predicting adverse pregnancy outcomes in small-for-gestational-age (SGA) and appropriate-for-gestational-age (AGA) fetuses. The CPR is calculated by dividing the pulsatility index (PI) of the middle cerebral artery (MCA) by that of the umbilical artery (UA) (1).The CPR, which was first introduced in 1987, is recognized as a more sensitive Doppler index to predict perinatal outcomes, as it shows the status of both the placenta and fetus. Doppler indices for CPR measurements include the resistance index, the PI of the UA, and Doppler waveform indices of MCA. However, the CPR is not routinely measured in clinical practice (2).Intrapartum hypoxia is the cause of nearly 10-15% of cases of cerebral palsy. Despite the clinical importance of this condition, antenatal identification of fetuses at risk of cerebral palsy and other hypoxia-related outcomes remains a challenge. Hence, a prediction of fetal blood gas imbalance could be helpful for identifying the associated risks and preventing their consequences. Fetal CPR, measured within 72 hr after delivery, can help identify fetuses that are likely to require obstetric intervention for intrapartum fetal compromise (3).In this study, we aimed to determine the correlation between the CPR and neonatal outcomes in AGA fetuses.This cross-sectional study was conducted from December 2016 to February 2018 on young pregnant women referred to Dr. Shariati Hospital, a referral hospital affiliated to Tehran University of Medical Science, Tehran, Iran.A total of 403 pregnant women were recruited who were at the gestational age (GA) of 37-40 wk and had an AGA fetus according to their first ultrasonography. The exclusion criteria were a history of multiple pregnancies, history of preterm birth, fetal growth restriction, and fetal abnormalities. However, 56 women were later excluded due to a lack of sampling and other limiting conditions.Finally, participants were divided into two groups according to their CPR level, as measured before delivery. After delivery, the arterial blood gas (ABG) level, and the incidence of emergency cesarean section, intrapartum fetal distress and neonatal intensive care unit admissions were compared between the two groups.Color Doppler sonography of the UA and MCA was performed by a perinatologist before delivery via ultrasonography device . The CPR was calculated by dividing the PI of the MCA by that of the UA.The ABG was measured in the hospital's laboratory and the total number of cases who were admitted to the neonatal intensive care unit (NICU) was recorded. Fetal distress was evaluated with FHR monitoring.This study was approved by the ethics committee of Tehran University of Medical Sciences (Code: IR.TUMS.MEDICINE.REC.1396.4301). All patients provided informed consent prior to the study.t test. Differences in the pregnancy outcomes of the two groups were analyzed using the Chi-square test. P Data analysis was performed using Social Sciences statistical package v. 19 . Descriptive analyses were performed including means, and standard deviations. The baseline characteristics of the two groups were compared using the student's In this study, 403 pregnant women who met the inclusion criteria of the study were enrolled. During the study, 56 of these women were excluded .Patients were divided into two groups based on their CPR level (cut-off: 0.67 MOM).Participants in the two groups did not differ significantly in terms of demographic characteristics including maternal age, GA at the time of ultrasonography, and GA at the time of delivery (Table I).The incidences of fetal distress, emergency cesarean section, neonatal hospitalization in the NICU, and pH The results of all variables were different between the two groups. Based on the findings, it can be concluded that a low CPR is associated with a low Apgar score, low pH in the ABG of the neonate, and an increased rate of emergency cesarean section and NICU admission. As a result the third-trimester CPR is an independent predictor of stillbirth and perinatal mortality and morbidity.Numerous studies have shown that a low CPR indicates redistribution of fetal blood flow (brain-sparing) and predicts adverse outcomes in neonates. The abnormal fetal growth velocity, NICU admission, emergency cesarean section for fetal distress, intraventricular hemorrhage, hypoxic ischemic encephalopathy, necrotizing enterocolitis, bronchopulmonary dysplasia, sepsis, and even death are some of the adverse fetal outcomes (4-6).Term infants weighing The CPR is a preliminary diagnostic measure of pregnancy complications, which can be compared to the biophysical profile score and UA/MCA Doppler studies. The CPR can be used as an independent tool in evaluating of third-trimester fetuses, regardless of UA and MCA findings (1).Detection of stillbirth in prolonged pregnancies is linked to late placental insufficiency and fetal hypoxemia. Therefore, fetal Doppler monitoring may improve the management of fetal condition, although the literature suggests conflicting results. The CPR can help to detect fetal hypoxemia through two mechanisms of reduced resistance in MCA (brain-sparing effect) and increased placental resistance. The CPR has been shown to be more important than Doppler indices of MCA and UA alone in predicting adverse fetal outcomes, associated with growth restriction and prolonged pregnancy (10-12).There is much literature in this field, discussing the pros and cons of the CPR calculation and its features. A number of studies have shown an association between the CPR and growth rate as well as birth weight .Moreover, some researchers showed that the CPR is a major independent predictor of stillbirth and perinatal mortality, and the CPR has the highest sensitivity in the prediction of both intrapartum abnormal fetal heart rate and adverse neonatal outcomes in prolonged pregnancies .However, some believe that there is no relationship between pregnancy outcomes and CPR in prolonged pregnancies (10).The literature suggests that fetuses with CPRs They revealed that the CPR is a marker of impaired fetal growth velocity and adverse pregnancy outcomes, even in fetuses whose size is considered appropriate based on conventional biometry .The findings of this study demonstrate that a low CPR in AGA fetuses is an important marker of low neonatal pH.The CPR is an important factor in predicting the morbidity and mortality of infants. And a low CPR, even in normal weight fetuses, can be a sign of hypoxemia and placental insufficiency. However, this claim needs further investigation.The authors declare that there is no conflict of interest."}
+{"text": "Nanotoxicology, a discipline transpired by the need to assess the human and environmental safety of nanoscale materials, has evolved over the past 15 years into a mature area of toxicology. Early on, nanotoxicology studies established a necessary understanding of dose-response relationships of nanomaterials using typical in vitro toxicology models, provided crucial information on interferences induced by nanoparticles (NPs) in the conventional toxicity assays and how to overcome these, and demonstrated that due to their unique physical\u2013chemical properties, nanomaterials act via different toxicological mechanisms than the bulk counterparts of the same materials. For example, ZnO, known as a water-insoluble compound in bulk form, was shown to exert toxicity through released Zn-ions in the case of ZnO NPs, and the cellular uptake pathways of NPs were discovered to depend on the size, shape, and surface properties of nanoscale particles. As the knowledge on NP toxicity mechanisms and behavior in the environment and organisms has accumulated, nanotoxicologists have acknowledged the need for improved understanding about the NP interactions with biological systems at the molecular level to better predict the potential toxicity of novel nanomaterials and ensure safe and sustainable development of nanotechnology.Accordingly, recent trends in nanotoxicology include incorporation of high-throughput screening approaches to establish structure-activity relationships using libraries of NPs with different properties and in vitro screening assays combined with computational analysis; omics- approaches, including metabolomics, proteomics, and transcriptomics, to discover molecular-level effects of NPs at low, sub-lethal NP concentrations, and method development to include sensitive toxicity assays for early detection of toxic effects. Environmental nanotoxicology is moving towards the direction of enhancing the relevance of testing conditions to these relevant to the environment and organism physiology, because NP toxicity has been proven to depend on the interactions with natural organic matter, anions and cations, the level of pH, and other environmental factors. Another major direction of nanotoxicology which has gained momentum in the recent years is the safety assessment of nanomaterials designed for applications in biotechnology, environmental bioremediation, wastewater treatment, agriculture, and nanomedicine. Thus, nanotoxicology has a substantial role not only in the risk assessment of unintentionally or intentionally produced nanomaterials but also in ensuring successful nanoinnovation across broad applications and enabling safe-by-design approach in nanotechnology.This Special Issue covers a range of topics regarding the latest research trends in nanotoxicology. The collection includes 10 research articles and 5 reviews by authors from 16 countries, spanning four continents, which illustrates the global significance of nano-enabled technology and its safety assessment. It is worth noting that, in addition to guest editors who both are female scientists, most of the lead authors of the papers of this Special Issue are female scientist which is an important tendency in the STEM areas. The topics of the research articles and review papers address both environmental nanotoxicity as well as human health and nanomedicine safety aspects, providing an excellent overview of the current status of these important sub-areas of nanotoxicology.2 nanospheres and TiO2 nanotubes to two freshwater algae with different morphology [2 nano-spheres and nanotubes was different from the toxicity of single exposures and depended on the microalgal species. Aravantinou et al. assessed the long-term toxicity of ZnO NPs to microalgae using a modeled natural water treatment system with a semi-continuous supply of NPs [Scenedesmus rubescens was used as a model due to its presence in municipal wastewater and its potential use for biofuel production. The study showed that low concentration (0.081 mg/L) of ZnO NPs, supplied at lower hydraulic retention time, slightly inhibited algal growth but enhanced the lipid content of S. rubescens, highlighting the need for further studies of NP-biota interactions in environmentally relevant conditions. The importance of considering the presence of natural organic matter in nanotoxicity studies has been well illustrated in the article by Bondarenko et al. who assessed the ecotoxicity of magnetite NPs in a plant and unicellular eukaryotic model, assessing the influence of humic acid on the toxicity of the NPs as well as Fe(II) and Fe(III) ions [Eisenia andrei, to study the toxicity mechanisms of nanoscale zero-valent iron (nZVI).The original research articles regarding environmental nanotoxicology address aspects that have been less explored in the nanotoxicology studies so far, such as combination toxicity and long-term toxicity of NPs. For example, Wang et al. investigated the toxicity of the binary mixture of TiOrphology . They foII) ions . In anotII) ions . DevelopII) ions . They us2 NP toxicity, and specifically clarified the mechanism of cell death caused by the combined exposure to UVA and TiO2 NPs [2 NPs under UVA irradiation in HeLa cells and showed that the abnormal membrane integrity and the ultrastructure of HeLa cells, together with the decreased viability induced by TiO2 NPs under UVA irradiation, were due to cell necrosis rather than caspase-dependent apoptosis.The method development and application of novel omics approaches, which can provide molecular-level information about NP biological effects, were also the focus of research articles regarding the human health and nanomedicine safety. Enea et al. applied an innovative and sensitive approach\u2014metabolomics\u2014to compare the in vivo toxicological effects of gold nanospheres versus gold nanostars of similar ~40 nm diameter, coated with 11-mercaptoundecanoic acid, 24 h after an intravenous administration to Wistar rats . Using aTiO2 NPs . They inSeveral articles in the Special Issue discuss the beneficial properties on NPs and the associated mechanisms as well as safe environmental application of NPs. In their research paper, Sguizzato et al. report on the development of a formulation for caffeic acid cutaneous administration . The nanStaphylococcus aureus (MRSA) and biofilm eradication in clinical settings [Clinical applications of NPs and associated safety concerns have been discussed in three review articles. Mosselhy et al. review recent advances in nanotheranostics focusing on the issue of detecting methicillin-resistant settings . The autsettings . A specisettings . The autIn summary, the article collection in this Special Issue addresses important recent trends in nanotoxicology, both from the environmental and human health safety aspects. The articles illustrate the directions where the toxicity studies of NPs are headed: employing novel and sensitive methods which provide molecular level information about the mechanisms of action of NPs, focusing on the NP-biomolecule interactions, development of biomarkers for early detection of NP toxicity, and guiding safe-by-design strategies for NPs."}
+{"text": "Lacazia loboi in the cutaneous and subcutaneous tissues, with the presence of isolated nodular and coalescent keloidal lesions. Malignant degeneration is rare. This case report describes a 64-year-old male patient with JLD for 30-years who showed a change in the aspect of a lesion in the left lower limb. Histopathological examination confirmed the progression to well-differentiated squamous cell carcinoma (SSC). JLD is highly prevalent in tropical and subtropical regions, requiring monitoring concerning the transformation into SSC in long-term lesions.Jorge Lobo\u2019s disease (JLD) is a chronic, granulomatous fungal infection caused by the traumatic implantation of the fungus Lacazia loboi.Lacazia loboi (Jorge Lobo\u2019s disease (JLD) is a chronic granulomatous infection of the skin and subcutaneous tissue, without visceral dissemination, which is caused by the fungus ia loboi . Left inJLD, first described in 1931 by Jorge Lobo in a patient from the Amazon region, is a typical infection in tropical and subtropical areas, more common in men aged 20 to 40 years.5None declared.Arival Cardoso de Brito: Approval of the final version of the manuscript; design and planning of the study; effective participation in research orientation; intellectual participation in the propaedeutic and/or therapeutic conduct of the studied cases; critical review of the literature; critical review of the manuscript.Maraya de Jesus Semblano Bittencourt: Approval of the final version of the manuscript; design and planning of the study; drafting and editing of the manuscript; collection, analysis, and interpretation of data; effective participation in research orientation; critical review of the manuscript.Thain\u00e1 da Silva Gon\u00e7alves: Approval of the final version of the manuscript; design and planning of the study; drafting and editing of the manuscript; collection, analysis, and interpretation of data; effective participation in research orientation; intellectual participation in the propaedeutic and/or therapeutic conduct of the studied cases; critical review of the literature.Renata Henriques Cavalcante: design and planning of the study; drafting and editing of the manuscript; collection, analysis, and interpretation of data; effective participation in research orientation; intellectual participation in the propaedeutic and/or therapeutic conduct of the studied cases; critical review of the literature.None declared."}
+{"text": "The Support at Home pilot program provided financial support for home care services by middle-income adults with disabilities in San Francisco to support aging in place. This presentation reports the results of the mixed-methods evaluation of the program, which incorporated administrative records, surveys of clients and comparison group members, surveys of informal caregivers of clients, surveys of the care providers hired by clients, and focus groups with clients and with informal caregivers. Outcome measures included the Older People\u2019s Quality of Life Questionnaire, Patient Health Questionnaire-2, an adapted Burden Scale for Family Caregivers, and self-reported falls, emergency department visits, and hospitalizations. Analyses included pre-post chi-squared and t-test comparisons and comparisons of changes between the client and comparison groups. Multivariate regression analyses were conducted to control for demographic differences between the groups. An economic analysis was conducted to learn whether changes in costs associated with medical appointments, emergency department visits, and hospitalizations were greater than the costs of the program, including both voucher and administrative costs. Results indicated statistically significant positive changes in personal stress and financial stress, but not in the composite quality of life score. There also were statistically significant reductions in attendance at medical appointments, falls, emergency department visits, and hospitalizations. The focus group data supported the findings regarding personal and financial stress, and also indicated that clients and their caregivers perceived positive quality of life benefits. The economic analysis indicated substantial cost savings from the program due to reduced use of medical services."}
+{"text": "ABSTRACT IMPACT: Development and implementation of a parent navigator program to help parents of justice-involved youth could assist parents in navigating the justice system, improve engagement with court and probation, and ultimately improve outcomes for youth involved in the juvenile justice system OBJECTIVES/GOALS: The goals of the study are to (1) develop a parent-peer navigator program utilizing community-based participatory design; and (2) implement and assess the feasibility of a parent peer navigator program in an urban juvenile justice system. METHODS/STUDY POPULATION: The EPIS framework will guide development and implementation of the navigator program as well as measurement of the implementation process, including measurements of feasibility and acceptability. In the Exploration phase, qualitative interviews with juvenile justice staff, parents of justice-involved youth, and members of the local family advisory board will inform program needs. In the preparation stage, I will work closely with the family advisory board to develop the actual parent navigator program protocol, including a training plan for navigators and their specific roles. I will conduct an open trial in the implementation phase, measuring program feasibility and acceptability among parents, navigators, juvenile justice staff, parents, and youth utilizing mixed methods. RESULTS/ANTICIPATED RESULTS: Results will inform feasibility of implementing the program as well as acceptability of the program based on mixed methods data from parents of justice-involved youth, juvenile justice staff, family advisory board members, and other community stakeholders. Results will potentially inform conduct of a larger scale pilot hybrid implementation-effectiveness study. DISCUSSION/SIGNIFICANCE OF FINDINGS: Development and implementation of a parent navigator program to help parents of justice-involved youth could assist parents in navigating the justice system, improve engagement with court and probation, and ultimately improve outcomes for youth involved in the juvenile justice system."}
+{"text": "There has been little focus on designing tailored diabetes management strategies in developing countries. The aim of this study is to develop a theory-driven, tailored and context-specific complex intervention for the effective management of type 2 diabetes at a tertiary care setting of a developing country. We conducted interviews and focus groups with patients, health professionals, and policymakers and undertook thematic analysis to identify gaps in diabetes management. The results of our previously completed systematic review informed data collection. We used the United Kingdom Medical Research Council framework to guide the development of the intervention. Results comprised 48 interviews, two focus groups with 11 participants and three co-design panels with 24 participants. We identified a lack of structured type 2 diabetes education, counselling, and collaborative care of type 2 diabetes. Through triangulation of the evidence obtained from data collection, we developed an intervention called VICKY (patient-centred collaborative care and structured diabetes education and counselling) for effective management of type 2 diabetes. VICKY comprised five components: (1) patient-centred collaborative care; (2) referral system for patients across transitions of care between different health professionals of the diabetes care team; (3) tools for the provision of collaborative care and documentation of care; (4) diabetes education and counselling by trained diabetes educators; and (5) contextualised diabetes education curriculum, educational materials, and documentation tools for diabetes education and counselling. Implementation of the intervention may help to promote evidence-based, patient-centred, and contextualised diabetes care for improved patient outcomes in a developing country. Type 2 diabetes is a global public health problem and an economic burden to nations, particularly developing countries . It contIneffective management of type 2 diabetes has been associated with poor clinical outcomes, which include disease progression, and increased health services utilisation, such as repeated hospitalisations and high all-cause mortality ,6,7. In Patient-centred collaborative care and the use of culturally tailored interventions, including behavioural interventions, can improve diabetes care in low-income countries ,24,25. EThe aim of this study was to develop a theory-driven, tailored, and context-specific complex intervention for the effective management of type 2 diabetes at a tertiary care setting of a developing country.The study was undertaken at the diabetes centre of a tertiary teaching hospital in Addis Ababa, Ethiopia. Diabetes care is provided at the diabetes centre of the hospital by endocrinologists, endocrinology fellows, internal medicine residents, and nurses . Each moThe United Kingdom Medical Research Council (UK MRC) frameworDeveloping a complex intervention involves three steps : (1) ideThe first stage in the development of a complex intervention is to identify an existing, relevant evidence base . We undeIdentification and development of appropriate theory in intervention design is key to understanding the possible processes of change ,44. The We used a co-design panel comprising patients, health professionals, and policymakers at TASH and the Ministry of Health of Ethiopia with a representative of the Ethiopian Diabetes Association and incorporated the findings from the systematic review , interviThe first co-design workshop involved health professionals, policymakers from TASH and the Ministry of Health of Ethiopia, and a professional officer from the Ethiopian Diabetes Association . During We conducted the second co-design workshop with patients with type 2 diabetes . The purWho needs to perform the behaviour?What do they need to do differently to achieve the desired change?When do they need to do it?Where do they need to do it?How often do they need to do it?With whom do they need to do it?A joint workshop was undertaken with a nominated patient, health professionals, policymakers, and a professional officer from the Ethiopian Diabetes Association. The workshop involved examining the defined problem related to the effective management of type 2 diabetes and the selected potential target behaviours during the two separate workshops (workshop I and II). The workshop panel members specified the target behaviours that were agreed upon. In workshop III, the panel members discussed and reached a consensus on the defined problem related to effective management of type 2 diabetes and the selected potential target behaviours at workshops I and II . The criThe co-design panel worked through stage one to stage three of the behaviour change intervention design process . The steThis stage involved four steps 47]. St. St47]. Decide what \u2018intervention functions\u2019 to apply: education, persuasion, incentivisation, coercion, training, restriction, environmental restructuring, modelling, and enablement;Select implementation strategy: fiscal policy, legislation, regulation, environmental planning, communications, service provision, and guidelines development. This stage involves the use of the behavioural diagnosis to: DeciDevelop a detailed intervention plan by selecting from among a range of specific behaviour change techniques (BCTs) . Michie Create the detailed intervention specification covering all aspects of content and delivery of the intervention structured around the chosen BCTs and modes of delivery. The focus of the third stage is to:Appropriate intervention functions, BCTs, and intervention contents were determined through discussion between the co-design panel and the research team and using the APEASE criteria . The APEModelling of a complex intervention helps toIn this study, we operationalised the intervention functions and BCTs into a complex intervention to improve the effectiveness of type 2 diabetes management. The researchers collaborated with the co-design panels in operationalising the intervention functions and BCTs into the mode of care delivery using the BCW framework . We usedWe undertook interviews with 48 participants and two focus groups (n = 11) with patients with type 2 diabetes, health professionals, and policymakers from TASH and the Ministry of Health of Ethiopia comprisiEvidence from the interviews and focus groups we have undertaken, previous findings ,12,13,60Lack of resources, such as medications, laboratory, and diagnostic tests;Lack of continuity of care, such as prolonged follow up clinic visits;Lack of knowledge and awareness of patients about type 2 diabetes and its complications;Lack of self-care activities;Low level of type 2 diabetes education and counselling services;Low competence and experience of health professionals providing diabetes care;Inefficient collaboration among health professionals in the care of type 2 diabetes;Absence of involvement of clinical pharmacists, dietitians or nutritionists, and psychologists in the care of type 2 diabetes.We identified through interviews, focus groups, and co-design workshops that had challenges for the effective management of type 2 diabetes related to:Our findings from interviews and focus groups demonstrated that the problem of the effective management of type 2 diabetes can be addressed through multiple behaviours targeted in a complex intervention. These include: ensuring continuity of care; enabling provision of structured type 2 diabetes education and counselling by competent health professionals; providing collaborative care of type 2 diabetes, involving clinical pharmacists, dietitians or nutritionists, and psychologists in type 2 diabetes care; improving health professionals\u2019 competency, commitment and professional ethics; and improving the referral system of patients with type 2 diabetes between TASH and other health institutions . The co-Provide structured diabetes education and counselling with competent health professionals;Enable collaborative care of type 2 diabetes;Involve clinical pharmacists, dietitians or nutritionists, and psychologists in the care of type 2 diabetes as members of the collaborative care team;Improve health professionals\u2019 competency, commitment, and professional ethics through trainings.During the co-design workshop, the co-design panel prioritised the potential target behaviours, out of which the four potential target behaviours are listed from highest to lowest priority:Similarly, the co-design panel in workshop II identified and prioritised the following potential target behaviours for intervention in descending order of priority.Ensure continuous availability of medications;Ensure continuous availability of laboratory and diagnostic tests;Involve clinical pharmacists, dietitians or nutritionists, and psychologists in the care of type 2 diabetes as members of the collaborative care team;Enable collaborative care of type 2 diabetes;Integrate all type 2 diabetes care services at the diabetes centre.Given the evidence from the interviews, focus groups, and previous findings ,30,61, bThe co-design panels confirmed that there was no involvement of clinical pharmacists, dietitians or nutritionists, and psychologists in the provision of type 2 diabetes care. It was found that there was a profound deficiency of the collaborative care of type 2 diabetes at the diabetes centre of TASH. A collaboratively working care team is more likely to be responsive, efficient, and provide improved care . As multAfter the selection of the potential target behaviours for intervention, the co-design panel in workshop III specified the two target behaviours, namely to enable the provision of structured type 2 diabetes education, counselling, and collaborative care of type 2 diabetes. These details are found in the table of The findings of the interviews, focus groups, and co-design panel workshops indicated the need for the involvement of physicians, nurses, clinical pharmacists, dietitians or nutritionists, psychologists, and peer diabetes educators in the provision of structured diabetes education and counselling with patients or family members (caregivers) to improve the care of type 2 diabetes at TASH. The structured diabetes education involved the education of patients with type 2 diabetes about the condition, its complications, and management and self-care activities .In enabling the collaborative care of type 2 diabetes, physicians, nurses, clinical pharmacists, dietitians or nutritionists, and psychologists would work in coordination with patients and their families (caregivers), administrative bodies of the hospital, and the Ministry of Health of Ethiopia. A collaborative care team would be organised at the diabetes centre of TASH. The duties and activities of each member of the diabetes care team are described in the table of We used the COM-B system to identThe provision of structured diabetes education and counselling at TASH was hampered by a lack of availability and involvement of trained and qualified multidisciplinary health professionals in diabetes education and counselling (C). Insufficient time for the consultation of patients (O) and inadequate space (O) led to a lack of physical opportunity to provide structured diabetes education and counselling about type 2 diabetes. Patient adherence to diabetes educations sessions (O) negatively affected the provision of type 2 diabetes education at TASH. A triangulation of evidence from the interviews, focus groups, systematic review , co-desiTime shortages and inappropriate space (O), poor communication among health professionals (O), lack of commitment and motivation of health professionals and policymakers (M), and absence of policies and guidelines for collaboration (O) contributed to a lack of collaborative care of type 2 diabetes at TASH. We triangulated the findings from interviews, focus groups, the co-design panel workshops, and the research team discussions and performed the behavioural analysis using the COM-B . We analIntervention functions appropriate to the context of TASH and that help to improve the management of type 2 diabetes were determined using the APEASE criteria Table S.We used the BCW mapping We linked the COM-B components of the collaborative care of type 2 diabetes with intervention functions using the BCW mapping After identification of the intervention functions, we evaluated the appropriate policy categories that support the delivery of the intervention functions using the APEASE criteria . GuideliFeedback on behaviour;Self-monitoring of behaviour;Prompt/cues;Salience of consequences;Instruction on how to perform the behaviour;Demonstration of the behaviour;Restructuring the physical environment;Restructuring the social environment;Adding objects to the environment;Goal setting behaviour;Action planning;Social support (unspecified).Behaviour change techniques are active components of an intervention designed to change behaviour that helWe operationalised the identified BCTs and identified modes of delivery for the provision of structured education and counselling with trained diabetes educators and collaborative care of type 2 diabetes and developed a complex intervention . We creaThe complex intervention (VICKY) consisted of five components .The following 13 BCTs were linked to the intervention functions for the target behaviour in the collaborative care of type 2 diabetes .Self-monitoring of behaviour;Prompt/cues;Feedback on behaviour;Instruction on how to perform the behaviour;Restructuring the physical environment;Restructuring the social environment;Adding objects to the environment;Demonstration of the behaviour;Goal setting behaviour;Action planning;Social support (unspecified);Social support ;Problem solving.We used the logic model to link This paper describes a systematic development of a tailored complex intervention to improve the effectiveness of the management of type 2 diabetes in a tertiary care setting of a developing country. To our knowledge, the complex intervention is the first theory-driven and context-specific intervention designed using the first stage of the UK MRC framework and the BCW and co-design approaches for the management of type 2 diabetes in Ethiopia.Our intervention addresses an organisational level intervention that involves multiple stakeholders and multifaceted approaches, such as the training of health professionals, provision of educational materials, collaborative care, and patient involvement in the care process. Multifaceted approaches have been demonstrated to be successful in improving healthcare in resource-limited settings, including SSA ,70,71,72Implementation science offers opportunities to design novel healthcare approaches to ensure the utilisation of resources for evidence-based healthcare delivery in developing countries, including SSA ,77. EffoThe MRC framework guided tThere have been tailored complex interventions ,48 desigWe designed an organisational level intervention to improve the effectiveness of type 2 diabetes management. There is a broad range of evidence internationally in support of organisational interventions to improve the care of type 2 diabetes and patient outcomes ,55,56. SDiabetes care models of developed countries are evidence-based, patient-centred, team-based, and guided by contextually tailored diabetes management guidelines and educational materials, where diabetes education by trained diabetes educators are essential elements of care ,96,97. SOur proposed intervention involves the collaborative care of diabetes, diabetes training of health professionals, and diabetes education by a trained team of health professionals. Evidence also indicates that the diabetes care team needs to incorporate a multidisciplinary group involving physicians, nurses, clinical pharmacists, dietitians or nutritionists, and psychologists ,63,64,65This study has some limitations. We did not include the views of nutritionists or dietitians, psychologists, and laboratory personnel in the intervention design. The intervention was designed at a single healthcare setting, requiring feasibility and piloting prior to evaluation and implementation. Nevertheless, the information obtained can be transferred to other similar settings.This paper indicated the usability and applicability of the UK MRC framework and the BCW to designing tailored and evidence-informed behaviour change interventions in SSA. We developed the UK MRC-guided intervention called patient-centred collaborative care and structured diabetes education and counselling (VICKY) using the BCW. VICKY, which is a tailored intervention to the context of a tertiary care setting of a developing country, is a complex intervention for diabetes management to be tested for feasibility and effectiveness in later phases of this project. This intervention will help to manage diabetes effectively by addressing the current practice gap existing at the hospital, and the country in general. VICKY is a comprehensive diabetes care model co-designed by key stakeholders involving consumers, healthcare providers of various disciplines, and policymakers using multiple evidence sources. This model, if found effective, may serve as a springboard to design similar tailored interventions for other non-communicable diseases in the country."}
+{"text": "The European Union Directives stipulate mandatory tests for the presence of any infections in donors and donations of substances of human origin (SoHO). In some circumstances, other pathogens, including fungi and parasites, may also pose a threat to the microbial safety of SoHO.The aim of the two systematic reviews is to identify, collect, and evaluate scientific evidence for the presence of fungal and parasitic infections in donors and donations of SoHO, and their transmission via transfusion and transplantation.An algorithmic search, one each for fungal and parasitic disease, was applied to 6 scientific databases . Additionally, manual and algorithmic searches were employed in 15 gray literature databases and 22 scientific organization websites. The criteria for eligibility included peer-reviewed publications and peer-reviewed abstract publications from conference proceedings examining the prevalence, incidence, odds ratios, risk ratios, and risk differences for the presence of fungi and parasites in donors and SoHO donations, and their transmission to recipients. Only studies that scrutinized the donors and donations of human blood, blood components, tissues, cells, and organs were considered eligible. Data extraction from eligible publications will be performed independently by two reviewers. Data synthesis will include a qualitative description of the studies lacking evidence suitable for a meta-analysis and a random or fixed-effect meta-analysis model for quantitative data synthesis.This is an ongoing study. The systematic reviews are funded by the European Centre for Disease Prevention and Control, and the results are expected to be presented by the end of 2021.The systematic reviews will provide the basis for developing a risk assessment for fungal and parasitic disease transmission via SoHO.PROSPERO International Prospective Register of Systematic Reviews CRD42020160090; https://www.crd.york.ac.uk/prospero/display_record.php?ID=CRD42020160090 ; PROSPERO International Prospective Register of Systematic Reviews CRD42020160110; https://www.crd.york.ac.uk/prospero/display_record.php?ID=CRD42020160110DERR1-10.2196/25674 Trypanosoma cruzi) [The European Union Directives have set safety interventions to prevent transmission of infections through substances of human origin (SoHO) ,2. The sa cruzi) .Surveillance data on the presence and transmission of pathogens via cells, tissue, and blood are currently collected at the national and European Union levels. However, no such data are yet available for organ transplantations . GloballThe systematic review protocols are registered with PROSPERO ; registration numbers: CRD42020160090, CRD42020160110 ,9. The PWe will employ the FINER approach to test A pilot search demonstrated an adequate number of studies for inclusion in the systematic reviews. The algorithmic search in the PubMed database retrieved 2320 and 1895 publications on the relevant fungal and parasitic infections, respectively. Additionally, the technical expertise of the review team, the time allocation, and the available funding guarantee its successful completion.The research questions are interesting as the systematic reviews aim at providing vital information on mitigating the risk of fungal and parasitic diseases transmission via SoHO. This is significant because fungal diseases kill >1.5 million and affect >1 billion people annually globally , while pThe systematic reviews will confirm or reject the earlier findings and produce new findings on the fungal and parasitic infections transmission risks via SoHO donations or contaminations, which would be used to develop future preventive interventions.There are no ethical concerns regarding the current systematic review processes, as it will be entirely based on evidence accumulation from earlier studies.The research questions are relevant to current scientific knowledge, clinical practices, and health policies.The selection of the information sources was based on the relation of scientific topics to the systematic review research questions and information retrieved from analysis regarding the optimal database combination for biomedical systematic reviews . The revScientific databases for peer-reviewed publications included PubMed, EMBASE, Web of Science, Scopus, Cochrane Library , and CINAHL.Databases for gray literature included JSTOR, OpenGrey, ROAR, ROARMAP, OpenDOAR, GreyNet, British Library, TextRelease, APO, bioRxiv, arXiv, Google Scholar, Infectious Disease Advisor, Healthfinder, and TRIP (Turning Research into Practice).Scientific organization websites for identifying peer-reviewed publications, technical reports, and guidelines containing original data included World Health Organization; European Commission; ECDC; Centers for Disease Control and Prevention (CDC); National Health System, United Kingdom; International Foundation for Care; National Health Information Center; Agency for Toxic Substances and Disease Registry; Food and Drug Administration; Indian Health Services; National Center for Chronic Disease Prevention and Health Promotion; National Center for Emerging and Zoonotic Infectious Diseases; National Center for Health Promotion and Disease Prevention, Veterans Health Administration; National Center for Human Immunodeficiency Virus, Sexually Transmitted Disease, and Tuberculosis Prevention, CDC; National Institutes of Health; National Institute of Environmental Health Sciences; Office of Public Health Genomics, CDC; American College of Preventive Medicine; Robert Koch Institute; Australian Department of Health and Aging; National Notifiable Diseases Surveillance System; and ClinicalTrials.gov.The search strategy was based on the guidelines of the Cochrane Library , while rThe official searching procedure for the gray literature databases and the organizations' websites was accomplished by three members of the review team . Following the selection process, a search for the reference lists of systematic reviews, meta-analyses, technical reports, and guidelines relevant to the research questions will be done. Finally, the reference lists of the eligible publications will be screened to identify any research questions\u2013related publications missed out in the initial searching.The inclusion criteria are set for the types of studies, types of participants, and extracted data items.The review team identified the following types of studies to be included as eligible in the systematic review: (1) peer-reviewed experimental, epidemiological studies of any methodological design and case reports that examined the prevalence, incidence, odds ratios, risk ratios, and risk differences of the presence of the fungal and parasitic infections in SoHO from an infectious donor or contaminated donation to recipients; (2) peer-reviewed in vitro studies that explored the presence of fungi and parasites in SoHO donors and donations, and transmission via SoHO to humans; (3) technical reports or guidelines by any relevant organizations, where eligible peer-reviewed publications and related original data can be detected; (4) articles from any organizations that investigated disease prevention relevant to the research objectives; (5) outputs in any language; (6) no date limits will be applied in the selection of eligible publications; (7) only peer-reviewed conference proceedings will be eligible from the gray literature, as failure to recognize trials reported in conference proceedings may impose a risk of bias in the effect estimates .The type of participants in the eligible studies will be humans. The term \u201csubstances of human origin\u201d refers to blood, blood components, tissues, cells, and organs. As a result, therapeutic and diagnostic products derived from humans will not be included in the systematic review. Therefore, the interventions to be considered will be blood and blood components\u2019 donations and transfusions in humans, and tissue, cell, and organ donations and transplantations in humans.The other data items that will be extracted from the databases include the following: (1) population demographics from eligible studies; (2) number of cases and percentages of fungal and parasitic infections in SoHO donors and donations, and their transmission via SoHO donations; (3) the prevalence of fungal and parasitic infections in SoHO donors and donations, and transmission via SoHO donations; (4) odds ratios, risk ratios, and risk differences of the fungal and parasitic infections among SoHO donors and donations, and their transmission risks via SoHO donations between intervention and control groups ; (5) associations of donor derived SoHO\u2013related fungal and parasitic disease transmission with demographic characteristics of the population and with any other factor susceptible to the infections; (6) diagnostic methods for the transmissions associated with the relevant SoHO donations (not those related to other exposures); (7) medications received by patients before and during diagnosis; (8) follow-up measures including hospitalizations and deaths; (9) risk factors of the fungi and parasitic infections or contaminations in SoHO donors and donations, and transmissions via SoHO donations; (10) type of infection screening tests in SoHO donors; and (11) country and continent of the population of eligible studies.The exclusion criteria will be: studies not identifying the transmission of the fungal and parasitic diseases via SoHO donations; animal studies; in vitro studies; reviews, systematic reviews, and meta-analyses; letters to editors and opinion papers; theses and dissertations; and gray literature besides the published peer-reviewed conference proceedings relevant to the systematic reviews\u2019 research questions.Two members of the review team will select the eligible publications independently. A referee investigator will be asked to decide in case of a disagreement between the two reviewers. The Cohen kappa test will be used to measure the interrater agreement in selecting the eligible publications . A studyAn individual data extraction form (Cochrane Library model) will be The priority of the outcomes of this systematic review are as follows: (1) intervention type ; (2) the association of the presence of fungal and parasitic infections in SoHO donors, donations, and their transmission through SoHO donations with any physiological and demographic characteristics of the populations, including aspects such as environmental conditions; (3) the prevalence of the presence of fungal and parasitic infections in SoHO donors, donations, and transmission via SoHO donations; (4) odds ratios, risk ratios, risk differences, and hazard ratios of fungal and parasitic infections or contaminations in SoHO donors, donations, and their transmission via SoHO donations; (5) cause of the infection in donors or the contamination of donation; (6) the type of screening test of infection and the donor types; (7) hospitalizations and deaths; (8) region (country and continent); and (9) diagnostic method.The review team will use the methodological design of each eligible publication to determine the risk of bias assessment. Three appropriate tools are going to be used: the Cochrane Library tool for the The eligible studies with data not suitable for meta-analysis will be summarized into a qualitative description. In the case of the eligible studies with pertinent data for meta-analysis, a random or fixed-effect meta-analysis model will be used to account for heterogeneity due to differences in study populations, types of infections, interventions, study durations, and other factors. All meta-analyses will be conducted using the RevMan 5.3 software .The prevalence for meta-analysis will be calculated using the following formula Standard errors for the meta-analysis will be calculated using this formula Standard errors will then be used for weighted proportions, and the RevMan 5.3 software will be I2 statistic. The results for heterogeneity will be considered statistically significant at P<.10, while the I2 index interpretations will be made based on earlier guidelines [The 95% CI and heterogeneity between studies will be evaluated using the idelines . Small sidelines . The risidelines . Finallyidelines .The reporting of the eligible publications will be checked independently by two review team members, while a referee will make the final decision in case of a discrepancy between them. The interrater agreement in the evaluation results will be tested using the Cohen kappa test . The 25-Two reviewers will independently appraise the implications and applicability of the findings of the systematic reviews using the GRADE analysis . The GRAThis is an ongoing study. The systematic reviews are funded by the ECDC, and the results are expected to be announced by the end of 2021.The two systematic reviews aim to identify the scientific evidence on transmission risks of fungal and parasitic diseases via SoHO globally. The retrieved evidence would assist an evidence-based risk assessment of the fungal and parasitic transmission through SoHO donations and evaluating the available prevention strategies within the European Union. The study results will be used to create an evidence pool containing the geographical data for transmission risks, genetic, physiological, and demographic characteristics of the infected populations, the infection cause and the type of screening tests for donors, and diagnostic methods of the infections. It is also possible that a meta-analysis of these data will be incorporated, which will further strengthen the evidence-based risk assessment approach.The systematic review process has many strengths. The protocol followed the PRISMA-P guidelines. The searching procedure used robust algorithms with standardized indexing terms to retrieve records that had different words to describe the same concept and information beyond the words in the title and abstract . We willThe systematic review process has limitations too. We excluded gray literature, incorporating a publication bias. Nevertheless, the inclusion of gray literature may itself introduce bias, and one reason to include the gray literature is the absence of peer-review sources . AnotherThese systematic reviews will form the basis for developing a risk assessment of fungal and parasitic disease transmission via SoHO."}
+{"text": "In 2019, the Fondazione Italiana Linfomi research team proposed a new project to summarize the evidence on late sequelae after treatment of classical Hodgkin lymphoma and diffuse large B cell lymphoma in long-term survivors (>5 years free of disease). Six systematic reviews were conducted. Clinical research questions focused on the incidence of late toxicities, comparison of toxicities with different chemotherapies, radiotherapies and autologous stem-cell transplantation, and evidence on early detection and long-term follow-up of late sequelae. The six reviews investigated the late impact of treatment on cardiological diseases, secondary neoplasms, metabolic and endocrine, neurological and psychological disorders, preservation of fertility and reproductive status, and the effect of lifestyle and nutrition. The literature search was conducted on Pubmed, Embase, and Cochrane Library databases up to 2020. This project summarized current evidence in order to see which course of action was best applicable for the clinical management of long-term survivors after Hodgkin lymphoma and diffuse large B cell lymphoma, and highlighted the gaps in the field.Advances in diagnosis and treatment of hematological malignancies has boosted attention on optimal follow-up care of survivors after cancer. To collect evidence that could inform the development of an optimal model for Italian hematology centers and the scientific community, Fondazione Italiana Linfomi (FIL) commissioned an analysis of the international follow-up approaches for long-term survivors after classical Hodgkin lymphoma (cHL) or diffuse large B-cell lymphoma (DLBCL). FIL set up multidisciplinary teams, representing all different skills relevant for cancer survivors. They conducted a series of systematic reviews focused on three main aspects: incidence of long-term toxicity; comparison of old or standard therapies and more recent ones; and evidence on specific follow-up approaches. The teams applied this framework to cardiological, endocrine-metabolic, neurological/cognitive, and psychological disorders, secondary cancers, fertility preservation, and lifestyles. Each team conducted comprehensive literature searches on PubMed, Embase and Cochrane Library databases up to 2020. Screening followed the PRISMA statement for reporting systematic reviews. The reviews report the results of this wide project covering the main areas of late toxicity and conditions in the long-term survival of cHL and DLBCL patients and their follow-up. From a clinical point of view, the series confirmed that the evidence on follow-up tended to focus on solid tumors with scant evidence on hematological malignancies. Advances in the diagnosis and treatment of hematological malignancies has boosted attention on the optimal follow-up care of long-term survivors. International medical societies and health authorities have developed follow-up programs to support patients after complete remission to improve quality of life (QOL) and monitor long-term sequelae of cancer treatments. Europe\u2019s Beating Cancer Plan, launched by the European Commission in early 2020, focused on follow-up care, in addition to prevention, early diagnosis, and treatment .The essential components of survivorship care include prevention and surveillance of new tumors or relapses of primary diseases and long-term sequelae, as well as the management of the effects of therapies. Survivorship care requires the collaboration of specialists and primary care providers, ideally in multidisciplinary teams. Several out-patient models have been developed: multidisciplinary survivorship clinics, as for instance those dedicated to the long-term follow up of cancers developed in childhood or adolescence; disease-specific survivor clinics, focused on a given disease, for instance, breast or colorectal cancer; and general survivorship clinics, providing services for a broad spectrum of diseases ,3.To manage future health care needs, cancer survivors require a structured survivorship care plan (SCP). Several organizations who coordinate oncological care have developed them\u2013for instance, the American Society of Clinical Oncology . SCPs ofIn 2013, the UK National Health Service (NHS) promoted a document called \u201cLiving with and beyond cancer: Taking action to improve outcomes is intended to inform the direction of survivorship work in England to 2015\u201d [Most of the research and clinical experience on the management of cancer survivors come from breast cancer and childhood leukemia. In recent years, however, interest in hematological malignancies has grown. For instance, an SCP was applied to lymphoma patients at the Cancer Free Clinic of Mayo Clinic-Rochester Hospital . From NoOne review described updated evidence on survivorship care models, identifying current gaps . The autWide heterogeneity emerged between the studies, considering the components of the survivorship care models, the type of neoplasm for which survivors had been treated, and the length of the follow-up.Data from survivorship care models are still lacking, particularly the advantages of different models, the impact on survivors\u2019 health outcomes, barriers to offering survivorship care, assessment of available programs, and the costs and benefits of this model . To helpInteresting experiences focused on lymphoma survivors included the nurse-led lymphoma survivorship clinic with a tailored SCP ,9, and tIn Italy, there is a growing number of out-patient cancer programs focused on lymphoma survivors. The first started in the 1990s at the Centro di Riferimento Oncologico in Aviano and the Humanitas Research Hospital in Milan. A recent survey mapping the current follow-up of the growing numbers of Italian lymphoma survivors showed broad heterogeneity and several multidisciplinary approaches .To collect the evidence to inform the development of an optimal model for Italian hematology centers, the Fondazione Italiana Linfomi (FIL) commissioned an analysis of the international follow-up approaches for long-term survivors after classical Hodgkin lymphoma (cHL) or diffuse large B-cell lymphoma (DLBCL). These two cohorts form the prevalent population of long-term lymphoma survivors.The specific aims of the proposed series of systematic reviews were to understand the best applicable model for the clinical management of long-term survivors after cHL or DLBCL, highlight the gaps in long-term monitoring and follow-up, and provide suggestions on further research in the field. The overall goal of this project is to help decision-makers and clinicians to plan follow-ups for lymphoma survivors in the near future.FIL launched its project in 2019. The first step involved setting up a multidisciplinary research team, representing all the different expertise relevant for the comprehensive management of long-term lymphoma survivors. The final research team comprised eight onco-hematologists, two cardiologists, two radiotherapists, a gynecologist, an endocrinologist, a psychologist, and a nutritional biologist. These researchers were part of one or more review teams and were supported by a methods team, comprising three experts in clinical research methodology and systematic reviews .The research group had a brainstorm meeting in March 2019 to define the clinical areas of interest and the research questions to be addressed by each review team. Six areas were identified: cardiological, endocrine-metabolic, neurological/cognitive and psychological disorders, secondary cancers, fertility preservation, lifestyles, and tailored survivorship care plans. The focus of the project was limited to cHL or DLBCL survivors treated as adults and in remission for more than five years from first- or second-line treatments, including autologous hematopoietic stem cell transplant.The meeting included the presentation of the methodological approach and a training session for the review teams. The proposal was to conduct a series of systematic reviews, one for each area, sharing a common structure but flexible enough to account for the specifics of the different clinical settings. First, evidence was collected on late effects after treatments in order to understand their incidence in relation to the previous therapeutic approaches. Second, the best approaches to monitoring any long -term sequalae related to toxicity of previous treatments were identified. The review teams were trained on the basic elements of a systematic review according to the Cochrane approach which inThe reviews were structured around three aspects: (i) the incidence of specific long-term toxicity; (ii) the comparison of old or standard therapies (for which more data are available) and more recent therapies (including modern radiation therapy); (iii) the best method for early detection and monitoring of long-term sequelae.This framework was applied with minimal adaptations by the teams on cardiological, endocrine-metabolic, neurological/cognitive disorders, and secondary cancers. The groups focusing on fertility preservation and lifestyles and tailored survivorship care plans took a different approach, as the objective of their analysis was slightly different.Each review team defined the relevant clinical questions and divided them into researchable questions through the population, intervention, comparison, outcome study design (PICOS) framework. This lays the basis for the definition of the inclusion and exclusion criteria of the reviews and for literature searches. Considering the aim of the project, the review team agreed on the inclusion of clinical trials, controlled observational studies (prospective and retrospective), and systematic reviews.With the support of the methods team, each review team conducted comprehensive literature searches on the following scientific databases: PubMed, Embase, Cochrane Library. Clinical study registries such as Clinicaltrial.gov, and hand-searched references of these studies were done to maximize the sensitivity of the searches. Titles and abstracts were screened by at least two independent reviewers, and the selected full-text publication was examined to confirm eligibility. Discrepancies were resolved by discussion with a third reviewer or a member of another review team. The screening process was reported using the PRISMA flow-chart .A study was considered eligible if information pertinent to one or more PICOS item was abstracted in a tabular format. The key elements can be summarized as: study design, duration, population, sample size, interventions, comparators, follow-up, outcome measures, main results and main conclusions, and reference. The evidence was summarized qualitatively as a meta-analysis was not considered adequate in this setting. Each review team assessed the risk of bias in randomized trials using the Cochrane risk of bias tool v1 , the quaTo our knowledge, this is the first comprehensive assembly of evidence on clinical management of long-term survivors after cHL or DLBCL. We hope our results will support guideline development and prioritization of research funding allocation, providing the evidence base on which recommendations may be developed, following a transparent and robust methodology. Specifically, it should inform the definition of optimal programs to support patients after complete remission of lymphoma and highlight the gaps where specific research programs are now important. The initiative started with bottom-up input from health professionals involved in the care of long-term lymphoma survivorship, who acknowledged a research priority and set up a project to respond to specific issues. The integration of different competences in a joint, coordinated effort is a major achievement in view of the multidisciplinary approach needed for long-term survivors. The project highlighted several gaps still not covered that could be taken into consideration in new research projects promoted by FIL or other funders (such as scientific societies).The following series reports the results of a wide project covering the main areas of late toxicity and conditions in the long-term survival of cHL and DLBCL patients and their follow-ups.While each article in the series will report detailed considerations, some main clinical and methodological conclusions can be drawn from an analysis of the evidence.From a clinical point of view, our series confirmed that the evidence on follow-up pathways focused mainly on solid tumors with scant information on hematological malignancies. cHL and DLBCL patients can be considered a separate population from those with other hematological diseases due to their good prognosis and life expectancy, the novel chemo-immunotherapy and PET/CT-guided approach during chemo-radiotherapy for patients with cHL, and the improved diagnosis of DLBCL .The improved survival of these patients calls for tailored follow-up specific to their characteristics based on treatments received and their disease history. This is in line with guidelines on solid tumors, such as the National Comprehensive Cancer Network (NCCN) for survivorship and the European Society for Medical Oncology (ESMO) guidelines for monitoring cardiac toxicity in survivorship ,19. FollA recent analysis reviewed cancer survivorship models, with a particular focus on those aimed at integrating primary care providers into the care of cancer survivors . AlthougLike other surveillance programs, the management of long-term lymphoma survivors must assess the potential overuse of diagnostic procedures or treatments. The international initiative Choosing Wisely reports a generic recommendation to start surveillance testing after cancer treatment only after providing the patient with a survivorship care plan to help in transitioning to long-term surveillance, avoiding unnecessary services, and seeking appropriate care and decision support . ChoosinThe overuse of diagnostic procedures or treatments may be associated with side effects, including the possible psychological distress caused by the status of being a \u201ccancer survivor\u201d. In the broader context of a patient-centered perspective on cancer, the development and implementation of survivorship plans should include a transparent approach to shared decision making, where patients\u2019 preferences are taken into consideration.From a methodological point of view, our series pointed out two main limitations. The first regards the indirectness of the results. Most of the evidence refers to mixed populations that include different hematological tumors and, in some cases, even solid tumors, so a good number of studies had to be excluded. The lack of stratification between solid and hematological malignancies and thorough evaluation of the differences precludes robust identification of the most adequate features in each setting. When trials and observational studies only assessed lymphoma survivors, they usually included groups of participants with different disease histories. In general, there is a lack of data on DLBCL patients and those who utilize second-line treatments such as transplants for both cHL and DLBCL. Other papers reported data on populations including children as well as adults, or mixed long-term survivors and patients still receiving treatment together without stratification. The study populations in almost all the studies varied as regards treatment received, age at diagnosis, and timing of the survivorship (intended as time after diagnosis).The second issue regards the overall quality of the evidence. Studies were seldom sufficiently powered to detect long-term sequalae as primary or secondary outcomes, and follow-up was generally too short to detect relevant medical issues in prospective observational and randomized controlled trials. Studies often had major methodological flaws and employed inadequate comparators.This project, promoted by FIL, summarized current evidence to find the best model for the clinical management of long-term survivors after cHL or DLBCL and offered suggestions on further research in the field. It also built up a new multidisciplinary research group, including hematologists with other relevant figures such as experts in radiotherapy, endocrinology, nutrition, and psychology, and research methodology. This group could support decision-makers in preparing sustainable evidence-based guidelines such as SCP, on an Italian national level, and help to fill research gaps through new projects covering unmet medical needs for lymphoma patients."}
+{"text": "Difficult times ask for innovative and daring solutions to complex issues. In the interest of the health, safety, and well-being of all registered attendees and the general public, the Society for the Study of Neuroprotection and Neuroplasticity (SSNN) Board of Directors has decided to extend last year\u2019s decision regarding all upcoming events and hold the conferences in a virtual environment. We are committed to supporting public health authorities globally in their effort to slow and contain the spread of COVID-19. We must stay positive, healthy, and united more than ever to overcome this crisis.th European Teaching Course on Neurorehabilitation (ETCN) (17\u201318 September 2021) and the 16th International Summer School of Neurology (19\u201321 September 2020) will be offering outstanding opportunities for education, dissemination of scientific research, and the exchange of best practices, through a brand new online platform that has been tailored to promote lively interaction between participants.Our well-established conferences \u2013 the 11The current virtual events benefit from the active support of some of the longstanding partners like the European Federation of Neurorehabilitation Societies (EFNR), World Federation of Neurorehabilitation Societies (WFNR), the European Academy of Neurology (EAN), Iuliu Hatieganu University of Medicine and Pharmacy from Cluj-Napoca, Romania, the RoNeuro Institute for Neurological Research and Diagnostic, and the Journal of Medicine and Life.The ETCN is one of the most acclaimed events organized by the SSNN. This year\u2019s second online edition, out of eleven so far, promises to rise to participants\u2019 expectations and serve as a platform for disseminating and exchanging up-to-date scientific knowledge on neurorehabilitation and providing a space for teaching-oriented workshops. Each year, the event reaches a broader audience interested in this steadily expanding and exciting field .The event\u2019s focus is on rehabilitation and neurorecovery, along with identifying new avenues in science, education and delivery of service \u2013 the Scientific Program Committee, conducted by Volker H\u00f6mberg President-Elect of the World Federation Neurorehabilitation (WFNR) and Vice-President European Federation of Neurorehabilitation Societies (EFNRS), carefully curated the program developed on submissions from our top-grade international faculty.The event\u2019s objectives are (1) to further the development and improve quality of neurorehabilitation in Europe, (2) to enhance collaboration in neurorehabilitation between professionals, (3) to encourage and facilitate the exchange of knowledge and scientific research in rehabilitation professionals, and (4) to contribute to the development of cooperation and communication networks between national and international neurorehabilitation societies.th edition, coordinated by Natan M. Bornstein and Dafin F. Muresanu, the virtual event will address topics such as the COVID-19 impact, challenges of evidence-based medicine, stroke recovery monitoring, the right of patients for the suitable device aided therapies, and cost-effectiveness of interventions for neurorecovery after acute ischemic stroke.The International Summer School aims to facilitate the interaction between young neurologists-in-training and an internationally established faculty with extensive expertise in basic and clinical neuroscience. The pillars for this event were set in 2005 together with professors Natan Bornstein (Israel) and Ovidiu Bajenaru (Romania) to fulfill the need of young specialists and practitioners for connection with the latest developments in the field of neurosciences. This pursuit led to the development of a dynamic environment that promotes connection and learning. In the 16The 2020 SSNN virtual events will set the stage for five days of intensive talks and debates between over a thousand participants from 25 countries on a broad range of problems in neurosciences. An exciting achievement of this year is represented by the guideline on pharmacological support in early motor rehabilitation after acute ischaemic stroke. The guideline aims to support the clinical decision-making of healthcare professionals involved in the recovery of stroke patients. They were developed using the Grading of Recommendations, Assessment and Evaluation (GRADE) framework to identify early pharmacological interventions for stroke rehabilitation delivered alongside neurorehabilitation. This guideline provides clinicians with information regarding existent pharmacological support in post-acute stroke neurorecovery intervention, highlighting an exciting avenue for research and development.Despite the societal changes caused by the ongoing global pandemic, we are enthusiastic about finding innovative pathways of adapting to the current context. In our pursuit, we ought to work together to overcome these trying times and build a brighter future."}
+{"text": "The Up-and-Coming-Scientist section of the current issue of the Journal of Membrane Biology features the invited essay by Dr. Mercedes Alfonso-Prieto, Assistant Professor at the Forschungszentrum J\u00fclich (FZJ), Germany, and the Heinrich-Heine University D\u00fcsseldorf, Vogt Institute for Brain Research.Dr. Alfonso-Prieto completed her doctoral degree in chemistry at the Barcelona Science Park, Spain, in 2009, pursued post-doctoral research in computational molecular sciences at Temple University, USA, and then, as a Marie Curie post-doctoral fellow at the University of Barcelona, worked on computations of enzyme reactions and modeling of photoswitchable ligands targeting neuronal receptors. In 2016, she joined the Institute for Advanced Science and the Institute for Computational Biomedicine at the FZJ, where she pursues research on modeling and simulation of chemical senses. The invited essay by Dr. Alfonso-Prieto discusses state-of-the-art modeling of molecular receptors involved in chemical sensing \u2013 the senses of taste and smell. These receptors, and computational methods to study them, are the focus of Dr. Alfonso-Prieto\u2019s research. Recently, Dr. Alfonso-Prieto and colleagues have presented a new methodology to predict ligand binding poses for GPCRs, and extensive computations that deciphered the ligand selectivity determinants of bitter taste receptors. These developments inform our current understanding of how taste occurs at the molecular level. In contrast with vision or hearing, the senses of taste and smell (or olfaction) involve the detection of chemicals present in the environment and thus are considered as \u201cchemical senses\u201d. They inform about the aroma and flavor of food and beverages and act as warning system for toxic substances. Hence, these two chemical senses strongly affect human well-being, food acceptance and intake are extremely chemically diverse . The GPCR superfamily is the largest in the human genome, with approx. 800 genes, of which half correspond to chemosensory receptors and is distributed among several databases (Marenco et al. The interplay of experimental and computational approaches has enabled a deeper molecular characterization of bitter taste and olfaction. However, the lack of experimental structures of bitter taste and olfactory receptors is still a hurdle that limits the accuracy of the computational structural models that can be generated. Moreover, a more extensive characterization of the physiological and pathological roles of extraoral TAS2Rs and extranasal ORs is required to exploit their potential as novel drug targets. In addition to computational molecular modeling and data science approaches, systems biology is expected to contribute to further understand the connection between ligand-receptor recognition and the subcellular response of the corresponding type II taste cell or olfactory sensory neuron."}
+{"text": "Pyrazoles are also found in a variety of agrochemicals and are versatile compounds for synthetic manipulations. Their structural features , and diverse applications, have stimulated the work of several research groups towards the synthesis and functionalization of pyrazole-type compounds and study of their properties, and has inspired this Special Issue that aims to provide a broad survey of the most recent advances in pyrazole\u2019s chemistry.Pyrazoles and their reduced form, pyrazolines, are considered privileged scaffolds in medicinal chemistry, owing to their remarkable biological activities, physicochemical properties and occurrence in many low-molecular-weight compounds present in several marketed drugs . They discussed the most common size of the metallacycles\u2019 ring depending on the metal and analyzed the stability of different ring sizes dec-1-en-5-ium chloride pyrazoles pyrimidines were reviewed by Portilla et al., who have also highlighted the anticancer potential and enzyme inhibitory activity of these compounds, thus providing important insights for the rational and efficient design of new drugs bearing the pyrazolopyrimidine core [In this Special Issue, nine original research articles and seven reviews covering some of the most recent advances in the synthesis, transformation, properties and relevant applications of pyrazoles are reported. Two articles deal with the synthesis and computational study of metallacycles formed by pyrazolate ligands and the coinage metals M = Cu(I), Ag(I) and Au(I). Elguero and Alkorta reported a computational study of metallacycles formed by pyrazolate ligands and the coinage metals (pzM)ng sizes . By usinatalysts . Alam et luminol . Currentine core . Tu et aine core . Brullo ine core . Lee et ine core . In the ine core . Kokorekine core .In conclusion, pyrazoles\u2019 chemistry is undoubtedly a current and pertinent topic of investigation. Several research groups have contributed to the advancement of this topic by designing novel pyrazole-type compounds and developing synthetic strategies for the preparation and post-functionalization of pyrazoles, or by studying their structures, properties and potential applications. Herein, important advances in pyrazoles\u2019 chemistry have been disclosed. We thank all of the authors for their valuable contributions to this Special Issue, all the peer reviewers for their valuable comments, criticisms, and suggestions and the staff members of MDPI for the editorial support."}
+{"text": "Background: The cranio-orbito-zygomatic (COZ) approach is a workhorse of skull base surgery, and each of its steps has a precise effect on target exposure and surgical freedom. The present study overviews the key techniques for execution and tailoring of the COZ approach, focusing on the quantitative effects resulting from removal of the orbitozygomatic (OZ) bar, orbital rim, and zygomatic arch. Methods: A PRISMA-based literature review was performed on the PubMed/Medline and Web of Science databases using the main keywords associated with the COZ approach. Articles in English without temporal restriction were included. Eligibility was limited to neurosurgical relevance. Results: A total of 78 articles were selected. The range of variants of the COZ approach involves a one-piece, two-piece, and three-piece technique, with a decreasing level of complexity and risk of complications. The two-piece technique includes an OZ and orbitopterional variant. Superolateral orbitotomy expands the subfrontal and transsylvian corridors, increasing surgical freedom to the basal forebrain, hypothalamic region, interpeduncular fossa, and basilar apex. Zygomatic osteotomy shortens the working distance of the pretemporal and subtemporal routes. Conclusion: Subtraction of the OZ bar causes a tremendous increase in angular exposure of the subfrontal, transsylvian, pretemporal, and subtemporal perspectives avoiding brain retraction, allowing for multiangled trajectories, and shortening the working distance. The COZ approach can be tailored based on the location of the lesion, thus optimizing the target exposure and surgical freedom and decreasing the risk of complications. The cranio-orbito-zygomatic (COZ) approach is an extension of the pterional approach, involving the adjunct of orbitozygomatic (OZ) osteotomy to allow wider exposure of the anterior and middle skull base and upper retroclival region. It provides advantages in giant aneurysms of the anterior communicating artery (ACoA) and distal basilar artery, tuberculum sellae, large anterior clinoidal, spheno-orbital meningiomas, large craniopharyngiomas, giant pituitary adenomas, cavernous hemangiomas of the hypothalamus, and crus cerebri of the midbrain. Over the years, a wide range of terms has been used to describe this approach, each of which refers to the key steps of the bony work of a specific variant. Similarly, many technical notes of the COZ approach have been reported to make its execution easier and decrease the risk of complications ,13,14,15The herein presented PRISMA-based literature review strives to exhaustively summarize the spectrum of possible technical variations of the COZ approach, particularly focusing on the different quantitative effects resulting from removal of the entire OZ bar, orbital rim, and zygomatic arch. The reported data constitute the key elements for rational tailoring of the COZ approach aimed at optimizing the volume of exposure of the target, augmenting surgical freedom, and decreasing the risk of complications.https://pubmed.ncbi.nlm.nih.gov access date 15 February 2022) and Web of Science (https://www.webofscience.com access date 17 February 2022) online databases. The keywords \u201ccranio-orbito-zygomatic\u201d, \u201corbitozygomatic\u201d, \u201corbitopterional\u201d, \u201czygomatic\u201d, \u201corbitozygomatic\u201d, \u201corbitocranial\u201d, and \u201corbitofrontomalar\u201d were combined with text words \u201capproach\u201d, \u201ccraniotomy\u201d, and \u201costeotomy\u201d. Articles in English or translated, without temporal restriction, were selected. Editorials, comments, case reports, and letters were excluded. Eligibility of the articles was limited to neurosurgical relevance, and the results were reported according to Preferred Reporting Items for Systematic Reviews and Meta-Analyses (PRISMA) guidelines . Th. Th11]. 2.Orbitopterional Craniotomy (Al-Mefty Technique)The orbitopterional two-piece COZ approach includes two zygomatic cuts involving the anterior and posterior root of the zygoma, respectively. The zygomatic arch is mobilized inferiorly without detachment of the masseter muscle, thus avoiding the risk of postoperative masticatory imbalance. The other steps are those of the one-piece variant of the COZ approach, where all the cuts are carried out extracranially 3]..3].The three-piece COZ approach consists of a combination of both two-piece variants. It involves zygomatic osteotomy without detachment of the masseter, inferior mobilization of the zygomatic arch, pterional bone flap, and orbital osteotomy as separate piece entailing the superolateral orbital rim and the orbital roof .The dura is opened parallel to the posterior ramus of the Sylvian fissure, and two further curvilinear cuts are performed on the frontal and temporal side. This type of opening decreases the risk of damage to the Sylvian veins, especially in the case of swelling of the brain.The COZ approach allows for four different corridors: (1) subfrontal, (2) transsylvian, (3) pretemporal, and (4) subtemporal. The transsylvian and pretemporal corridors are related to four well-defined deep windows to the infratentorial region through the opening of the Liliequist membrane. The deep windows are as follows: (1) optic-carotid, (2) carotid-oculomotor, (3) supracarotid, and (4) oculomotor-tentorial.The galea-pericranium can be used as a double-layered autologous patch graft in the case of duraplasty or also if cranialization of the frontal air sinus is necessary. Preplating before proceeding to zygomatic osteotomy aids osteosynthesis and avoids the risk of postoperative facial asymmetry. Care should be taken in reconstruction of the orbital roof to limit the risk of enophthalmos. Low-profile titanium plates and 4 or 5 mm self-tapping screws are used for osteosynthesis of the bone flap. The temporalis muscle is reapproximated to the myofascial cuff at the level of the superior temporal line. An interrupted suture with 3/0 vicryl stitches is used for the superficial temporal fascia and galea. Subcutaneous drainage is left in place for 2 days to prevent blood collections. Skin suture can be optionally executed with 3/0 silk stitches or metallic agrafes.A large basilar apex aneurysm was incidentally found in a 54-year-old female patient. On digital subtraction angiography, the aneurysm was superior projecting and presented with a dome-to-neck ratio of 1.5. Both P1 segments of the posterior cerebral arteries arose from the partially calcified neck. Basilar bifurcation was low riding, lying 8 mm below the dorsum sellae. The patient underwent a two-piece COZ approach inclusive of orbitopterional craniotomy, zygomatic osteotomy, extradural anterior clinoidectomy, lateral mobilization of the internal carotid artery (ICA), and posterior clinoidectomy. Posterior clinoidectomy expanded the carotid-oculomotor window and allowed for control of the midbasilar trunk. Given the pattern of low-riding basilar bifurcation, the additional exposure resulting from the COZ approach and posterior clinoidectomy was paramount for temporary clipping. Anterior clinoidectomy and lateral mobilization of the ICA led to expanding the optic-carotid window, which was used to dissect the neck and the thalamoperforating arteries resulting from P1, and to definitively clip the aneurysm. The transsylvian, pretemporal, and subtemporal corridors were used in combination. The patient was discharged without deficits on the fifth post-op day .A 48-year-old female was diagnosed with an incidental large anterior communicating artery aneurysm. The left A1 segment of the anterior cerebral artery was hypoplastic, and both A2 segments originated from the ACoA. The aneurysm was anterior\u2013superior projecting, and the superolateral orbital rim hindered visualization of the left A2 segment. The patient underwent an orbitopterional approach, which allowed expanding the subfrontal corridor and the angular exposure of the aneurysm neck. Better visualization of the left Heubner artery and hypothalamic and subcallosal perforating arteries was also possible. The aneurysm was successfully clipped and the postoperative course was uneventful .The present review summarizes the key techniques for tailoring the amount of surgical exposure provided by the COZ approach, which is today considered a workhorse of skull base surgery. A gradual shift from the one-piece technique to the two-piece or three-piece technique occurred over the years .The reasons consist of easier execution of the latter two variants, as well as better functional and cosmetic outcome ,11,29,30In particular, for the basilar apex and posterior clinoid, the removal of the orbital rim and zygomatic arch as separate steps results in an increase of exposure of 28% and 22%, respectively 32]..32].Based on these data, the COZ approach can be tailored depending on the location and size of the lesion, as well as the specific corridor deemed more suitable for the target exposure ,46. ManyWhile subtraction of the orbital rim is useful for high-riding aneurysms of the basilar apex, the shallower operative field resulting from zygomatic osteotomy enhances the pretemporal, subtemporal transtentorial, and subtemporal transpetrosal (Kawase\u2019s) approaches in cases where the basilar tip aneurysm originates at the level of low-riding basilar bifurcation . An anatComplications of the COZ approach can be functional, aesthetic, or of both types. Some of the most frequent are injury of the frontotemporal branch of the facial nerve, atrophy of the temporalis muscle, masticatory imbalance, enophthalmos, diplopia, visual impairment, and cerebrospinal fluid leakage. The subfascial technique avoids deficit of the frontotemporal branch of the facial nerve, whereas compulsive subperiosteal blunt and \u201ccold\u201d (avoiding electrocauterization) dissection of the deep temporal fascia prevents postoperative atrophy of the temporalis muscle ,24,27,41In the one-piece COZ approach, zygomatic osteotomy is generally less generous, involving mainly the frontal process. Therefore, the one-piece COZ approach is theoretically more suitable for parasellar and orbital tumors where wider mobilization of the zygomatic arch does not add real advantages in target exposure. Conversely, the one-piece COZ approach is less indicated in ruptured aneurysms, hyperostotic spheno-orbital and sphenoid meningiomas, and large intraorbital tumors with raised intraocular pressure. In ruptured aneurysms, the coexistent brain edema increases the risk of parenchymal damages during extracranial osteotomy of the orbital roof. In tumors characterized by severe hyperostosis of the roof and lateral wall of the orbit, the fracture of the one-piece bone flap can accidentally give rise to force vectors involving the optic canal and sphenoid sinus with a consequent risk of damage to the optic nerve and cerebrospinal fluid leaks. In the case of intraocular hypertension, the greater manipulation of the eyeball, equired to cut the orbital roof from the extracranial intraorbital side, increases the risk of blindness, as well as dangerous bradyarrhythmia deriving from elicitation of the trigeminal oculocardiac reflex. The two-piece variant fits most other lesions for which the COZ approach is indicated thanks to its wide intrinsic versatility that characterizes both the Zabramski and Al-Mefty techniques. The Al-Mefty technique should be preferred for malignancies affecting the temporal and infratemporal fossa since this variant avoids detachment of the masseter muscle, thus eliminating an adjunctive risk for mastication. These tumors often involve the masticatory space apart from the middle fossa. Despite its greater facility of execution, the three-piece variant is considered disadvantageous in children where the physiologic growth of the facial skeleton can be compromised by the fixation devices. Furthermore, in pediatric and extremely thin patients, where the thickness of the facial soft tissues is reduced, the greater number of miniplates and burr hole covers required for reconstruction can be sources of poor aesthetic outcome. Apart from the aforementioned aspects, which should be considered as indicative rather than imperative, the preferences and the personal experience of the surgeon also have to be considered in the choice of a specific technique of execution.The present study has some limitations that can be summarized in its retrospective nature, the intrinsic bias of the different studies involved, and the type of morphometric and quantitative studies selected which were performed only on cadavers in most cases.The spectrum of variants of the COZ approach involves a one-, two-, and three-piece craniotomy, with a decreasing level of technical complexity and risk of complications.Superolateral orbitotomy expands the subfrontal and transsylvian corridor and raises surgical freedom to the basal forebrain, hypothalamic region, interpeduncular fossa, and basilar apex.Zygomatic osteotomy shortens the working distance to the main targets of the pretemporal and subtemporal route.Removal of the OZ bar eliminates the need for brain retraction and allows for multiangled trajectories.The COZ approach can be tailored based on the location and extension of the lesion, thus optimizing target exposure and decreasing the risk of complications."}
+{"text": "The evolution of antibiotic resistance in Escherichia coli (E. coli) hampers the treatment of UTIs, mirroring the global public health concerns around antimicrobial resistance. Pivmecillinam, an oral prodrug of mecillinam (a \u03b2-lactam antibiotic), is used as first-line treatment for uUTIs in Denmark. Here, we examine the use of, and the prevalence of resistance to, mecillinam in Denmark in the primary care setting.www.danmap.org). Prevalence estimates of resistance reported by DANMAP 2019 were obtained from the Danish Microbiology Database (MiBA).Nationwide data on the use of and resistance to pivmecillinam was extracted and examined from the Danish Integrated Antimicrobial Resistance Monitoring and Research Programme (DANMAP) 2019 report . In general, in spite of increasing use in Denmark, the development of resistance to pivmecillinam has remained low. In fact, a slight decline in pivmecillinam resistance was observed over the past decade.Despite the rising number of UTIs and the increasing use of pivmecillinam for uUTI in Denmark, over the past decade, the development of resistance to pivmecillinam remains low.Anne Santerre Henriksen, MS, Advanz (Consultant)Shionogi BV (Consultant)UTILITY Therapeutics (Consultant)"}
+{"text": "In the context of fair trade and protection of consumer rights, the aim of this study was to combat adulteration, counterfeiting, and fraud in the tea market, and rebuild the image of high-quality Taiwan teas. Experts at the Tea Research and Extension Station, Taiwan (TRES), are engaged in promotion of the systems of origin identification (AOC) and grading for authentication of Taiwan\u2019s premium teas. From tea evaluation competitions , the flavor descriptions and consumers\u2019 perceptions were deconvoluted and characterized for the eight Taiwan specialty teas, namely, Bi-Luo-Chun, Wenshan Paochong, High-Mountain Oolong, Dongding Oolong, Tieh-Kuan-Yin, Red Oolong, Oriental Beauty, and Taiwan black tea. Then, according to the manufacturing processes, producing estates and flavor characters, the specialty teas were categorized into six sensory wheels. The flavor descriptors of the sensory wheels were also recognized in consumers\u2019 feedback. In recent years, the performance of international trade in tea also demonstrates that the policy guidelines for authentication of specialty teas are helpful to the production and marketing. Furthermore, the development of sensory wheels of Taiwan\u2019s specialty teas is the cornerstone to the establishment of the Taiwan-tea assortment and grading system (TAGs) for communication with the new generation consumers, enthusiasts, sellers, and producers. Camellia sinensis) is also one of the main agricultural commodities in international trade [Tea is the most popular beverage in the world after water, and the tea leaf . SpecialSince 1991, the import quantity of Taiwan\u2019s tea has rapidly surpassed the export quantity, as shown in Food authentication is the process of verifying compliance with a food label instruction. Whether from a business perspective or a legal perspective, food authentication has aroused significant interest. Labeling and ingredient regulations may vary by country or region for food safety issues or prevention of criminal activities . Many beNumerous technological approaches have also been utilized to profile the characteristic fingerprint of beverages with physical or chemical data ,13. HoweConsumers make purchasing decisions based on a variety of quality cues (brand reputation and price) controlled by marketing . The autIn tea purchases, consumers often need to try individual teas, and determining a favorite flavor is time-consuming. However, consumer preference for a tea flavor is difficult to state, and words used in professional evaluation are too artistic and metaphysical for others to understand. A recent study noted that the problem stems from the gap between the sensory perceptions of tea beverages by younger consumers and professional opinions in tea marketing . The appWith the aim of authenticating Taiwan tea to protect consumer rights and ensure trade fairness, numerous fast and accurate analytical techniques have been developed to combat tea counterfeiting, adulteration, and fraud . The aroThis aim of this study was to establish a systematic sensory lexicon to certify the flavor characteristics of specialty teas with high-quality, as flavor authentication. As the major official institute involved in the promotion of the tea industry in Taiwan, TRES must coordinate manufacturers, tea traders, and consumers to establish a functional medium with well-certified guidelines to reduce the gaps in traditional tea culture. Using an expert taster who evaluated the appearance, color, smell, taste, and mouthfeel, the overall impression of the quality of the tea infusion was obtained with a balance based on defect-free and sensory properties. Furthermore, the official sensory wheels of Taiwan specialty teas were developed for the tea industry to serve as communication and quality control tools to enhance the marketing of Taiwan tea for consumers, and to strengthen the core competitiveness of tea farmers. In this study, the characteristic flavors of Taiwan specialty teas were clearly identified based on consumers\u2019 perception using the flavor attributes of the sensory wheel.The main structure of this research consists of the eight specialty teas and six categories of sensory wheels, which have the flavor attributes of infusion color, taste, and aroma in the consumers\u2019 perception. Since the inception of TRES, the lexicon of flavor perceptions on teas has been dynamically reviewed by the professional staff. Our study uses the concept of identifying tea flavors to develop a sensory wheel with flavor terms in detail, and then verifies the accuracy of the flavor terms in each sensory wheel associated with the Taiwan specialty teas.Based on the sensory wheel, tea traceability establishes flavor clues in authentication, and can be used to express the flavor and quality perceptions of Taiwan specialty tea as a marketing tool. The official sensory wheels can be promoted to participating tea merchants, producers, and tea farmers to understand the basic quality requirements and flavor items in the evaluation. The protocols, including sensory evaluations and consumer surveys in this study, are certified as an exempted approval (document number: 1103408809) by the institutional review of TRES according to Article 5 of the Human Subjects Research Act (2 January 2019) of the Ministry of Health and Welfare, Taiwan. All identified data have been delinked for participants\u2019 anonymity and confidentiality before analysis.The flavor wheel working group and the sensory evaluation panel are composed of 25 professional researchers engaged in tea manufacturing and tea sensory evaluation at TRES, Taiwan. The panelists were recruited from certificated referees with qualifications obtained from training courses and practice assessments conducted by TRES for top-level tea sensory appraisers. The certification system of tea sensory appraisers in Taiwan is developed and classified in five levels, namely, elementary, junior, senior, advanced, and special appraisers. Certified appraisers must obtain the qualifications of appropriate training courses and assessments for tea sensory evaluation at different levels, consistent with the ISO 8586:2012 guidelines for sensory analysis [The development of the tea sensory wheel was used to standardize the flavor description and sensory evaluation of premium tea, so the high-quality tea samples were collected from tea evaluation competitions conducted from 2019 to 2020 in Taiwan. The flavor attributes of Taiwan green tea were assessed and graded using 40 samples of Bi-Luo-Chun green tea. The flavor attributes of the fragrant strip-type Paochong tea were assessed and graded using 50 samples of Wenshan-Paochong tea. The flavor attributes of the fragrant ball-type Oolong tea were assessed and graded using 73 samples of High-Mountain Oolong produced in locations including Nantou, Chiayi. The flavor attributes of the heavy roast ball-type Oolong tea were assessed and graded using a total of 210 samples of Dongding Oolong (169 in Nautou), Tieh-Kuan-Yin (19 in Muzha), and Red Oolong (22 in Taidong). The flavor attributes of Oriental Beauty tea were assessed and graded using 62 samples. The flavor attributes of Taiwan black tea were assessed and graded using a total of 60 samples of Sun-Moon-Lake black tea (20 in Nautou), Small-leaf black tea (20), and Honey-flavor black tea .The tea infusions were prepared as a liquor extraction with dry tea leaves, as described in the international standard ISO 3103:1980 . The teaResults of sensory evaluation in terms of color, flavor, taste, and aroma were conducted with hedonic scaling and a ranking test to determine a suitable grade based on the flavor attributes of the tea samples.To explore the feedback of consumers regarding the official sensory wheels of Taiwan specialty teas, participants were randomly invited to participate in a questionnaire survey at the Taiwan International Tea Expo on 11\u201316 November 2020 at the Taipei Nangang Exhibition Center. Participation was voluntary; participants had given verbal informed consent before the trial and could withdraw freely at any stage. A total of 90 valid questionnaire responses were obtained, including those of four foreigners with a questionnaire in English. Of the total number of respondents, 61% were male and the median age was 45 years old. Although the sensory wheel has different color attributes and the same taste attributes of tea infusions, it is difficult to analyze using questionnaires. Therefore, this questionnaire analyzed a total of 25 aroma attributes in six sensory wheels to profile the aroma characteristics of various Taiwan specialty teas. The design of the questionnaire used the Check-All-That-Apply method to verify the recognition coverage of consumer perception of the flavor attributes of Taiwan specialty teas.Based on the questionnaire data, the recognition percentage of an aroma attribute according to a consumer\u2019s perception was calculated and transformed into a 5-point scale, named the acceptance index of aroma attribute. For an aroma attribute with a recognition percentage of 45% or more, 5 points were given, 44.4\u201335% were given 4 points, 34.4\u201325% were given 3 points, 24.4\u201315% were given 2 points, and 14.4\u20131% were given 1.1 points. Those not recognized are not presented.Based on the production estates, the unique manufacturing process, and consumer impressions of the premium teas, the TRES focus group selected eight Taiwan specialty teas to characterize their flavor attributes. According to the tea manufacturing process, the color of tea infusion deepens with the degree of fermentation, as shown in Jacobiasca formosana), which feeds on leaves, stems, and buds without pesticide residues. The tea plant induces the secretion of the monoterpenediol and hotrienol, which gives the tea its unique flavor [Taiwan is the main producing area of partially fermented Oolong tea in the world , so the e flavor . Becausee flavor .Green tea is an unfermented tea made with relatively low processing, but differences in processing nonetheless have a significant impact on the flavor (mainly aroma) and appearance . Based osinensis var. assamica) with a high level of catecholamine are suitable for the flavor of black tea, and small-leaf cultivars (C. sinensis var. sinensis) with a low level of catecholamine are suitable for the flavors of green tea and partially fermented teas [According to the basic processes of tea manufacturing, as shown in ted teas . Due to ted teas , green tFrom the perspective of the producing estate, well-managed tea trees can be harvested for at least 30 to 40 years, and specific varieties are also suitable for planting and growing in the producing area of the specialty tea. Thus, the regeneration of tea planting varieties is very slow . HoweverTaiwan black tea is dominated by large-leaf cultivars. Characteristic Honey-flavor black tea is predominantly produced at the Hualien estate and made from Large-leaf Oolong, which is a tea tree of a small-leaf cultivar. Production of partially fermented teas, such as Paochong tea or Oolong tea, uses common small-leaf cultivars of Chin-Shin-Oolong and TTES No. 12 (Jhinhsuan). Because the catechin content of tea leaves in summer is too high and the flavor is too bitter for partially fermented teas , ten yeaFlavor affects the acceptance and choice of food intake, and helps people identify potentially harmful compounds. Based on the unique flavor attributes and consumer impressions, the sensory wheel working group further developed six sensory wheels of the flavor categories of specialty teas, which are Taiwan green tea (TGT), the fragrant strip-type Paochong tea (FSPCT), the fragrant ball-type Oolong tea (FBOT), the heavy roast ball-type Oolong tea (HRBOT), Oriental Beauty tea (OBT), and Taiwan black tea (TBT), as shown in The official sensory wheel has the function of setting standards and guidelines for each of Taiwan\u2019s specialty teas for the development of Taiwan tea industries, consumer behavior, and trade. The design framework of the sensory wheel has distinctive appearance, context, flavor lexicon, and sensory information, and includes the infusion color and an image representing the tea. Sun-Moon-Lake black tea, Small-leaf black tea, and Honey-flavor black tea are the three representative teas of TGT in Flavor studies ,36 utiliFlavor profiling identifies individual sensory attributes that contribute to the overall sensory impression of the tea infusion and evaluates its strength to establish a description of the flavor and aftertaste, such as in the case of mouthfeel, shown in The TRES is an official professional institution providing counseling for tea industry development and plays the role of guidance and supervision in the marketing of Taiwanese tea. However, flavor descriptions and standards of Taiwan teas are currently lacking a means of authentication compared to the international classification standards ,37 of ChThe official sensory wheel can be used not only as the flavor standard of the Taiwan specialty tea and an auxiliary tool for marketing, but also as teaching material for personnel training and the dissemination of tea-related knowledge on sensory evaluation. The six sensory wheels standardize the flavor lexicon for aroma and taste attributes, and provide a color atlas as a visual reference, as listed in From the comparison of the flavor components of the two extremes in In the future, the main challenge of psychological measurement will be to find a scale with proportional characteristics that is not affected by other factors used in the surrounding environment . Thus, aFlavor profiling includes formal procedures to describe and evaluate the taste, smell, mouthfeel, and flavor, in addition to an underlying complex of sensory impressions of a product in a reproducible manner. Taste is the sensation experienced by taste receptor cells located on the taste buds when stimulated by certain soluble substances. The sense of taste is combined with the olfactory and trigeminal system to produce an overall flavor . HoweverAccording to the results of the consumer questionnaire, the aroma descriptors in the sensory wheels were used to profile the characteristics of Taiwan specialty teas by fuzzy algorithm ,43, as sSensory evaluation techniques of QDA , consumeThe development of a variety of tea processed products has changed the culture of people drinking tea. In particular, the product concept of ready-to-drink tea has created a new tea culture . Tea is As shown in Nevertheless, this study is limited to specific areas and objects and cannot be accurately projected into the larger commercial tea or beverage markets. The quantitative data of flavor description are regarded as representing the objectivity and scientific statement of sensory evaluation . The medFor a long time, tea has been an important daily drink for East Asians. Drinking tea will make people feel happy because of its unique aroma, flavor, and taste. However, the sensory wheels are constructed with the criteria that were proposed by professionals for premium Taiwanese teas, and might not accurately project the consumer\u2019s perception of teas in general markets, such as the aroma attributes of root crop-nutty and bean-vegetal, which have lower acceptance in the consumer survey in From the perspective of the industrial development of beer, wine, coffee, and other popular beverages, professional knowledge education, product contests, media propagation, cultural links, and studies of health benefits can expand the penetration of tea beverages in society . The firIn summary, the development of premium teas has gradually dominated the international trade trend and supply chain structure of the entire tea industry in Taiwan. However, the expansion of the supply chains and the diversification of products have led to the prevalence of illegal business practices in the tea industry. Consumers\u2019 impression and perception have gradually faded for the high-quality Taiwan teas. Therefore, promoting the authentication of specialty teas is an urgent issue for the tea industry. Due to the generational differences of food culture and the rise of international industrial specialization, the flavor information of tea products must be dynamically updated and adjusted for the consumer groups whose lifestyle changes.The implementation of flavor authentication can be used to prevent the forgery of labeling in a traditional certification system of beverages, and the flavor lexicon can also expand consumers\u2019 interest in premium tea via assessor training for sensory evaluation. Further, the analytical techniques should be developed to establish an accurate and quantitative evaluation about the tea flavor. If the scientific clues of a flavor compound are identified, it can be applied to discriminate the quality, origin, and harmful residues of tea. The flavor profiling of the sensory wheels can be applied on the identification of specialty tea with Taiwanese label from general markets. The gap between industrial standards and consumer demand could be repaired with the development of sensory evaluation on tea flavors. Therefore, the use of quantitative descriptions of sensory evaluation, chemical analysis technology, and consumer testing to characterize the most important flavors of Taiwan specialty teas will help establish flavor standards, product traceability, and responsibility."}
+{"text": "Regional framework for action on implementation of the End TB Strategy in the Western Pacific, 2016\u20132020 in countries and areas in the World Health Organization Western Pacific Region.To assess the implementation of the We used a mixed methods approach to assess the framework\u2019s measurable and perceived impact. We conducted an analysis of national tuberculosis strategic plans, a cross-sectional survey of senior staff of tuberculosis programmes, key informant interviews and some country case studies.Of the 37 countries and areas of the Western Pacific Region, 14 had a national tuberculosis strategic plan, including all countries and areas with a high incidence of tuberculosis. Most senior tuberculosis programme staff who responded to the survey (16/23) found the regional framework useful when developing their national targets and grant applications. Programmatic challenges identified included financing, human resources, public\u2013private mix, active case finding, and paediatric and drug-resistant tuberculosis. Most of the 17 key informants thought that the regional framework\u2019s categorization of actions was useful, but that the added value of the regional framework over other relevant documents was not obvious because of overlap in content.The regional framework influenced national level tuberculosis control planning and implementation in a positive way. A future regional framework should provide a longer-term strategic horizon and specifically address emerging trends and persistent problems faced by countries or areas of the region. The framework included 16 subtopics linked to proposed actions with defined regional targets and indicators. In view of the diversity of the region, a tiered approach was proposed with actions for all settings, specific settings and pre-elimination settings.We undertook a mixed methods evaluation to assess the implementation of the regional framework and progress towards its targets and indicators. We conducted the evaluation in collaboration with the End TB unit of the WHO Regional Office for the Western Pacific, WHO country offices, national tuberculosis programmes and other stakeholders. The main objectives of the evaluation were to: (i)\u00a0assess progress against the targets and indicators defined in the regional framework; (ii)\u00a0determine how the regional framework has been adopted at the country level; (iii)\u00a0ascertain the perceived value of the regional framework in achieving its objectives; and (iv)\u00a0describe country-level challenges and success stories, the influence of the regional framework and future challenges. For the first objective, our findings have been reported in a separate paper,We chose this comprehensive mixed methods approach to obtain multiple perspectives and critical real-life insights. We carried out the evaluation (including data collection/interviews) between July and December 2019.We developed several evaluation tools which included a data extraction guide for the policy review ,We did not require ethical approval for this quality improvement exercise. Countries and areas voluntarily provide their data to the WHO Global TB Programme, as part of standard reporting practices.Only 14 of 37 countries and areas of the region had a national tuberculosis strategic plan , includiThe four countries that had national tuberculosis strategic plans that were clearly informed by the regional framework were Kiribati, Lao People's Democratic Republic, Malaysia and Mongolia . The spehttp://www.who.int/bulletin/volumes/99/5/20-268060), provides a summary of the main objectives, indicators and targets in the national tuberculosis strategic plans of the seven priority countries of the region. The strategic plans of Cambodia, China, Papua New Guinea, Philippines and Viet Nam were mostly aligned with the WHO End TB Strategy,Implementing the End TB Strategy: the essentialsTowards tuberculosis elimination: an action framework for low-incidence countries.We received 23 of 37 completed surveys from senior staff members of national tuberculosis programmes and 19 respondents indicated that they had read the regional framework or part of it. Of these 19 respondents, 16 found the regional framework helpful in the development of their national tuberculosis strategic plan. Eleven of 22 respondents said that their national tuberculosis strategic plans were wholly or greatly guided by previous or current regional strategies. Other documents identified by respondents that guided the development of national tuberculosis strategic plans included: national development plans; national surveys and reports; the End TB Strategy; the MDGs; the SDGs; documents from the United States Centers for Disease Control and Prevention; the results of operational research; and other WHO documents including Respondents indicated that the distinction between guidance for all, specific and pre-elimination settings was useful and ensured that the regional framework could serve as a resource for all countries and areas. Programmatic hurdles that the respondents thought needed to be considered when planning technical assistance or developing future regional frameworks included financing, human resources capacity, public\u2013private partnership, active case finding, management of paediatric and drug-resistant tuberculosis and general health system challenges. Of 12 programmatic areas assessed, the senior tuberculosis staff thought that the regional framework provided the most relevant guidance on the treatment and care of adult tuberculosis patients, the development of adequate laboratory capacity to guide treatment of drug-resistant cases, and treatment and care of children with tuberculosis .We contacted 24 key informants for critical reflection on the value of the regional framework and we interviewed 17 of the informants contacted. Interviewees were with the main organizations and technical agencies working on tuberculosis control in the region and high-level national tuberculosis programme representatives in certain countries (list of organizations and agencies available in the data repository).Box\u00a01Successes: strong focus on active case finding; general laboratory improvement and expanded networks for drug-resistant tuberculosis diagnosis and treatment, including the use of Xpert Ultra\u00ae, line probe assay and whole genome sequencing; low number of multidrug-resistant tuberculosis cases among new casesRemaining challenges: maintenance of Xpert\u00ae MTB/RIF equipment and subsequent loss of skills in smear microscopy; scaling up of detection and treatment of paediatric tuberculosis; low case finding and treatment success for drug-resistant tuberculosis; inadequacy of efforts to find missing casesSuccesses: removal of the category two regimen; availability of child-friendly water-dispersible fixed-dose combination tablets; better patient support to reduce catastrophic costs; implementation of short-course regimens for management of MDR and rifampicin-resistant tuberculosis; access to bedaquiline and delamanid as requiredRemaining challenges: poor patient-centred care ; scaling up of detection and treatment of drug-resistant tuberculosis with high loss to follow-up; high cost of some medicines for multidrug-resistant tuberculosis which are not included in national drug lists and low treatment successSuccesses: better awareness of tuberculosis prevention and new WHO guidelines on infection prevention and control Remaining challenges: screening, prevention and treatment of latent tuberculosis infection; lack of commitment to provide preventive therapy to household contacts in high-incidence settings, even to vulnerable childrenSuccesses: on track to reach targets but much left to do; relatively low caseload of multidrug-resistant tuberculosis Remaining challenges: improvement in documentation to obtain funding; strengthening of surveillance and use of data for field-based research to provide scientific evidence for policy-makingSuccesses: more and better quality research undertaken, e.g. inventory studies, patient cost surveys, new diagnosticsRemaining challenges: strengthening of research capacity and securing fundingSuccesses: improved collaboration and better partnerships, and community engagement; improved private sector and donor engagement; more collaboration with other groups on tuberculosis care Remaining challenges: still insufficient engagement of the private and non-public sector; insufficient engagement of civil society in tackling tuberculosis; overwhelming of national programmes by international partnersSuccesses: increased funding from government; health system improvements, e.g. decentralized care; more attention on universal health coverageRemaining challenges: difficulty in using funding; regulatory barriers, e.g. excessive bureaucracy; strengthening of health-care delivery system; better trained human resources; large funding gaps for national tuberculosis plansSuccesses: improved commitment and top-level engagement after the UN high-level meeting on tuberculosis in 2018Remaining challenges: better cross-regional collaboration and harmonization between the WHO Western Pacific and South-East Asia regions; maintaining political advocacy at the top level following the UN high-level meetingMDR: multidrug-resistant; UN: United Nations; WHO: World Health Organization.Notes: Each success or challenge does not necessarily apply to all the countries and some refer to the region more broadly. Key informants were senior advisers from international donor and technical organizations, tuberculosis programme managers and senior tuberculosis consultants or programme staff in selected countries.Countries included in the case studies were Australia, Cambodia, China, Papua New Guinea, Philippines, Solomon Islands and Viet Nam. The focus of the cases studies was on key lessons learnt. Tuberculosis control in Papua New Guinea and the Philippines was facing significant challenges such as rising numbers of cases of multidrug-resistant tuberculosis and cases in children, while achievements such as productive research collaborations and a new social protection scheme were noted in Viet Nam. ,,,The framework aimed to assist the translation of the End TB Strategy to the national and regional context in the WHO Western Pacific Region. As such, the framework outlined ambitious tuberculosis targets for the region aligned with the End TB StrategyThe success of any global or regional tuberculosis strategy is based on its translation into national strategic plans and actual on-the-ground implementation.,Our analyses showed substantial gaps in case finding and access to treatment in all country case studies, especially for people with drug-resistant tuberculosis. The need for focused strategies to tackle tuberculosis in high-risk subpopulations was highlighted during key informant interviews. In 2018, WHO, the Stop TB Partnership and the Global Fund launched a joint initiative (FIND. TREAT. ALL. #ENDTB) to urgently scale up tuberculosis case finding.,,Responses from national tuberculosis programme managers and key informants highlighted several areas to consider in a future regional framework. Several technical and programmatic problems were highlighted including laboratory capacity, large-scale case finding for active tuberculosis, drug-resistant tuberculosis care, scaling up of preventive therapy and a lack of national research capacity to address key research questions specific to the country context. Health system challenges noted included the need for universal health coverage (UHC) and the integration of tuberculosis services into primary health care, especially for children, with adequate financing mechanisms in place.Of the seven priority countries of the Western Pacific Region, Papua New Guinea and the Philippines have the biggest challenge because of large numbers of undetected cases and health system inefficiencies.Our evaluation has some strengths and limitations. We used both quantitative and qualitative approaches and explored the perceptions of national tuberculosis programme managers and key informants. However, the scope of our evaluation was broad and captured mainly people\u2019s opinions: validation of findings was limited, except in some country case studies. Furthermore, we were unable to validate the specific effect of the regional framework on policies and activities. We also found some inconsistencies between the different components of the evaluation; for example, in the survey of national tuberculosis programme managers, most respondents said that their national tuberculosis strategic plan was influenced by the regional framework, but only four countries published new national tuberculosis strategic plans after the regional framework. Managers might have thought that the regional framework would have influenced their national tuberculosis strategic plans if it had been available at the time, or that it is influencing current plans in development. Determining the real effects of the regional frameworks and strategies is challenging given the large number of priorities, needs, strategies, documents, organizations and funders that influence disease control programming. Although the scope of our evaluation did not cover all aspects of policy development and implementation, preparation of the regional framework included comprehensive consultation with countries and areas, and the formation of a regional tuberculosis technical advisory group has provided a strong platform to develop, disseminate and monitor future regional frameworks.Thirteenth general programme of work, 2019\u20132023 of WHO, and the document: For the future: delivering better health in the Western Pacific Region.,For the future: towards the healthiest and safest region.Overall, the regional framework has had a positive influence on national tuberculosis programmes in the Western Pacific Region, where tuberculosis incidence and mortality are slowly declining. The findings of our evaluation will inform the development of a future regional framework. This framework will be aligned with the priorities of countries and areas, the"}
+{"text": "Susac syndrome (SS) is a rare microangiopathy that involves arterioles of the brain, retina, and cochlea. Diagnosis is extremely difficult because of the rarity of the disease and because the signs and symptoms often occur at different times. Multidisciplinary approaches and multimodal images are mandatory for diagnosis and prompt therapy. In this report, we describe a case of SS and the application of multimodal retinal imaging to evaluate the ophthalmologic changes and to confirm diagnosis. Early diagnosis and therapy based on the associations of steroids and immunosuppressants are necessary to limit the sequelae of the disease. Susac syndrome (SS) is a rare autoimmune syndrome characterized by microvascular alterations involving the precapillary arterioles of the brain, retina, cochlea, and semicircular canals . This diIn this paper, we considered the application of the multimodal retinal imaging approach to describe a case of SS.A 33-year-old man was admitted to the emergency unit for headaches, a referred visual field loss, dizziness, and weakness of the limbs. The patient had a history of malignant external otitis , hearingAlthough the clinical trio including focal neurological deficits, hearing defeat, and retinal arterial occlusions is considered pathognomonic, the whole clinical manifestation occurs in only 13% of patients at onset ,3. The mIn conclusion, MRI and FA are the main diagnostic instruments and may lead clinical ophthalmologists to the correct diagnosis of SS; however, new diagnostic instruments such as OCTA and wide-field color retinal photography may provide an advantage in early diagnosis and follow-up of SS, offering an effective alternative to standard FA; in evaluating microvascular changes in all capillary plexuses; and in monitoring retinal vessel density alterations during prompt therapy without dye injection."}
+{"text": "The purpose of this symposium is to highlight the mental health needs and factors associated with mental health among informal caregivers of older adults in Asia. The symposium consists of five papers. The first paper explores the perceived role, needs, and rewards of informal caregiving among caregivers of residents in independent long-term care facilities in South India. The second paper presents a systematic review and meta-analysis on the association between long-term care service use and informal caregiver burden, depression, and health status. The third paper examines the association between caregivers\u2019 characteristics and quality of life among informal caregivers of older adults with cognitive impairment in China. The fourth paper examines the association between coping strategies and caregiver burden and depression among Chinese caregivers of older adults with cognitive impairment. The last paper examines the association between cohort, meaning making, and depression among adult caregivers during the COVID-19 pandemic in Hong Kong. Taken together, these five papers underscore of the mental health needs and protective and risk factors of mental well-being among caregivers in Asia. Findings of those papers inform the development and adaptation of culturally sensitive interventions to improve mental health outcomes among informal caregivers in Asia. The disccuant will comment on the strengths and limitations of these papers in terms of their contributions to the theory, research, and practice on mental health among informal caregivers in Asia."}
+{"text": "Meteorological disaster monitoring is an important research direction in remote sensing technology in the field of meteorology, which can serve many meteorological disaster management tasks. The key issues in the remote sensing monitoring of meteorological disasters are monitoring task arrangement and organization, meteorological disaster information extraction, and multi-temporal disaster information change detection. To accurately represent the monitoring tasks, it is necessary to determine the timescale, perform sensor planning, and construct a representation model to monitor information. On this basis, the meteorological disaster information is extracted by remote sensing data-processing approaches. Furthermore, the multi-temporal meteorological disaster information is compared to detect the evolution of meteorological disasters. Due to the highly dynamic nature of meteorological disasters, the process characteristics of meteorological disasters monitoring have attracted more attention. Although many remote sensing approaches were successfully used for meteorological disaster monitoring, there are still gaps in process monitoring. In future, research on sensor planning, information representation models, multi-source data fusion, etc., will provide an important basis and direction to promote meteorological disaster process monitoring. The process monitoring strategy will further promote the discovery of correlations and impact mechanisms in the evolution of meteorological disasters. As an important source of potential damage, natural disasters have long received universal attention in the field of disaster prevention and reduction. The mitigation of natural disasters is a key factor in ensuring people\u2019s livelihood. According to a sigma report published by the Swiss Re Institute, the total global economic losses from natural disasters reached 105 billion USD in 2021, again exceeding the average for the previous 10 years ,4. ThereIn recent years, along with the rapid development of sensor technology, aerospace platform technology, and data communication technology, the global observation capability of satellite, aircraft, and land integration has been greatly enhanced ,7,8. Rem(1)What are the objectives of meteorological disaster process monitoring?(2)How are remote sensing approaches being used for meteorological disaster process monitoring?(3)What are the current gaps in remote sensing-based meteorological disaster process monitoring?According to the fifth Climate Report of the United Nations Intergovernmental Panel on Climate Change (IPCC), climate warming will intensify in the future . At the The rest of the paper is organized as follows: Disaster is a general term for objects that have destructive effects on human beings and the environment on which human beings depend for their survival . As one For the remote sensing monitoring of meteorological disasters, the aim is to meet the disaster management needs of disaster prevention and mitigation, and to obtain various pieces of disaster information in different periods in time . FollowiAfter determining the arrangement for the remote sensing monitoring of meteorological disasters, it is possible to follow the relevant requirements to perform monitoring tasks and begin to extract various types of disaster information from remote sensing data. Disaster is the product of the comprehensive effect of three factors: pregnant environment, causing factor, and disaster-bearing body ,22. For Although different meteorological disasters present different patterns and ever-changing situations in disaster factors, the occurrence of meteorological disasters is always a gradual, evolutionary process ,26,27. IThe roadmap of meteorological disaster process monitoring based on remote sensing is shown in In the monitoring of meteorological disasters, it is first necessary to reasonably and comprehensively determine the monitoring tasks to clarify the monitoring timescale, carry out sensor planning and construct the conceptual model of monitoring information. The accurate representation of monitoring tasks is the basis and premise of accurately and effectively obtaining disaster information.As an important branch of geography, the meteorological disaster system has the dual attributes of \u201cnatural\u201d and \u201csocial\u201d, and it is also \u201cscale\u201d dependent on nature. On the one hand, the dependence is manifested in the significant timescale effect of disaster factors. With the introduction of the timescale, when conducting meteorological disaster monitoring, the time boundary to be monitored should first be determined according to the time extent, and the disaster monitoring is limited to a certain period . To undeThere are three main types of sensor planning solutions: single sensor, multi-sensor in single platform, and multi-sensor in multiple platforms. For the planning of a single sensor, due to the small number of sensors, the data processing steps are relatively simple, and the data specifications between the multi-period data are unified . For insHowever, most sensor planning is based on the technical conditions of the sensor itself, which lacks the planning based on the meteorological disaster process monitoring; thus, this kind of planning method would not obtain detailed and specific solutions . For exaIn disaster management, the use of multi-period, multi-area, multi-source, and multi-department meteorological disaster monitoring information has gradually become normal. If there is no uniform standard for meteorological disaster information, it will be difficult to share information in disaster management, which is disadvantageous to efficient monitoring and emergency warning . TherefoThe unified management of the distributed sensors and data resources by establishing metadata model specifications has become an important method for disaster information modeling. Considering the universality of the model, it is usually divided into the general metadata model and the dedicated metadata model. General metadata models include Common Alert Protocol (CAP), Emergency Data Exchange Language Distribution Element (EDXL-DE) and EDXL-rm . The dedThe knowledge representation method can provide semantic integration among people, heterogeneous systems, and people-to-systems. The following related techniques are gradually being introduced to disaster information modeling: 1) Ontology. Ontology is helpful in expressing the concept of disaster and eliminating semantic heterogeneity. After the foundation of standardized geographic ontology proposed by Kolas et al. , more spIn summary, the existing disaster information models rarely consider the spatio-temporal factor; most of them record spatio-temporal information as common attributes . A meteoThe pregnant environment is the natural and human environment that causes disasters. The monitoring of the pregnant environment, mostly before the disaster occurs, and the monitoring results can help to evaluate the disaster risk and predict the disaster. For meteorological disasters, monitoring the pregnant environment is mainly carried out by the extraction of surface environmental information from the lithosphere to the atmosphere. There is a lot of information regarding the pregnant environment, such as altitude, slope, river, road, formation lithology, fault zone, etc., which can be divided into two categories: surface parameters and land cover.The methods of extracting surface parameters using remote sensing methods mainly include the empirical model method and the physical model method. The empirical model method is mainly implemented by establishing an empirical regression model between remote sensing observation signals and surface parameters . To imprThe main strategies for retrieving surface parameters based on physical models are as follows: (1) on the basis of considering the influence of local terrain on the imaging geometry, the surface parameters are extracted using a physical model that is suitable for a flat surface ; (2) on To improve the accuracy of remote sensing extraction of land cover information, it is necessary to involve as much multi-source and multi-temporal remote sensing information and existing knowledge as possible, and also to develop scientific methods to effectively fuse heterogeneous information and eliminate redundancy ,71. A vaIn recent years, with the acceleration of global urbanization, a great deal of infrastructure construction has rapidly changed land cover in a few decades or less . The impThe cause of meteorological disasters is the weather phenomena that may cause disasters. The characteristic parameters of meteorological disasters can reflect the genetic characteristics, structural characteristics, and development process characteristics of disasters and are an important basis for the monitoring and evaluation of the causes. The monitoring of causes based on disaster-characteristic parameters focuses on the type of characteristic parameter on the one hand and on the method of extraction used for each characteristic parameter on the other hand. The extraction of information regarding the causes of different meteorological disasters is discussed in the following parts.In principle, remote sensing approaches to drought monitoring can be divided into two categories: 1) the change in soil moisture can cause changes of soil spectral characteristics; 2) the change in plant physiological processes caused by drought can change the spectral properties of leaves and significantly affect the spectral properties of plant canopy. Sensors for drought remote sensing include a visible light band, near-infrared band, thermal infrared band, microwave band, etc. The common approaches include the soil thermal inertia method, soil moisture inversion method, vegetation index method, surface temperature method, and composite index method .Precipitation is the comprehensive result of atmospheric dynamic and thermal actions, which determines the external shape of precipitating cloud. Precipitation monitoring is mostly used to calculate the precipitation indirectly by detecting the cloud temperature or cloud particle information. This is not the same as directly observed precipitation but is currently one of the most difficult to observe atmospheric variables. Sensors for remote sensing of precipitation include visible light band, infrared band, active/passive microwave bands, and a combination of multiple sensors. Due to the different remote sensing data and retrieval algorithms, the precision of precipitation retrieval is different. The research focus has gradually turned to the fusion of precipitation products retrieved by multiple sensors to obtain more accurate precipitation information .Snow cover, as the most common upper boundary condition during freezing and thawing, directly affects the distribution and migration of soil moisture, soil temperature, freezing rate, freezing depth, etc. Snow cover has the unique spectral characteristics of a high reflection of visible light and a low reflection of short-wave infrared. Additionally, the snow particle size and the content of optical impurity affect the snow spectrum reflection. Sensors for the remote sensing of snow include a visible-light band, near-infrared band, far infrared band, and microwave band. Using the spectral characteristics, remote sensing approaches for snow cover monitoring can be divided into two categories: (1) binary snow identification (judging whether there is snow or not); (2) sub-pixel snow cover mapping in the form of area percentage, also known as snow coverage .Haze is a mixture of particles with different diameters. The scattering and absorption of electromagnetic waves change the radiative transmission process and affect the quality of remote sensing data. Remote sensing approaches to haze monitoring include four categories: spectral-feature-based method, image-preferential-based method, aerosol optical-thickness-based method, and multi-source remote sensing stereo-monitoring method .As the temporal and spatial resolution of the weather satellite has improved, satellite imagery has become the primary means of monitoring typhoons . The satDust particles contain a lot of minerals and have strong backscattering to solar short-wave radiation. This changes the long-wave infrared radiation and seriously affects the visibility of the atmosphere. Thus, the spectral characteristics of dust are significantly different from those of clouds and the underlying surface . HyperspFor the disaster-bearing body, as the main body of human society that is directly affected and damaged by disasters, the core content of information extraction is used to analyze the damage to or recovery of personnel, social wealth, lifeline systems, etc. The target detection and scene classification approaches in remote sensing processing are mainly used to extract information on disaster-bearing bodies of different types.For the extraction of information on the disaster-bearing body, the target object is all kinds of ground objects that are affected by meteorological disasters. According to the morphological characteristics of the object features, typical objects are generally classified into linear objects, blob objects, and complex objects. A large number of target detection methods have been accumulated, including statistical-based detection methods , but changes in the internal features of the scene cannot directly lead to changes in the type of scene. It can be concluded that there is a \"spatio-temporal semantic gap\" between the low-level changes in objects and the high-level changes in scene semantics. An instance of this is provided in Presently, pixel-level change detection is mostly used to detect various kinds of land surface indexes, object-level change detection is used to detect the damage degree of buildings, and scene-level change detection is used for flood mapping .Monitoring of disaster occurrence area. The determination of the disaster occurrence area is based on the construction of a comprehensive disaster index, which considers the intensity of the causing factor, the damage degree of the disaster-bearing body, and the impact of the disaster. On the basis of multi-temporal comprehensive disaster index inversion using remote sensing images, on the one hand, the disaster occurrence area where the disaster index changes are obtained by comparing the pre-disaster and post-disaster images; on the other hand, by comparing the images of different times, the change process of the disaster occurrence area is simulated .Monitoring the degree of disaster. The disaster degree is mainly expressed by disaster grade, building damage degree, casualty, economic loss, etc. . Remote Disaster rescue progress monitoring. Restoration and reconstruction are based on a comprehensive assessment of disasters, and the transitional resettlement of the victims is carried out. According to the post-disaster recovery and reconstruction plan, housing construction, infrastructure construction, public service facilities construction, disaster prevention and mitigation, ecological restoration, and land-use recovery are carried out . A compaDifferent types of meteorological disasters have different causes and effects, but they will evolve with the changes in disaster-causing factors and disaster carriers. Effective monitoring of the evolutionary process of meteorological disasters can not only promptly obtain the real-time status of the current disasters but also provide an objective basis for the prediction and early warning of the next disaster. Based on the above analysis, most research focused on monitoring a specific phase or a certain disaster factor ,192. HowRegarding the methods for the remote sensing monitoring of meteorological disasters, most are multiple static spatiotemporal observations using multi-temporal remote sensing data. At present, machine-learning regression methods have advantages in terms of time dynamics, such as artificial neural networks with hidden layers, which can predict the temporal and spatial changes in geographic phenomena. As a typical geographical phenomenon, meteorological disasters can be used to compensate for the differences between disaster monitoring and disaster evolution at different timescales. Machine learning methods can be used to extract relevant information about the development process from the ever-increasing meteorological disaster monitoring data stream. This can not only simulate the evolution process of meteorological disasters, but also gain a further understanding of the scientific problems of the meteorological disaster system. Together, the theory and method research into meteorological disaster process-monitoring needs a further breakthrough.Based on the characteristics of meteorological disasters, the requirements of the monitoring cycle, monitoring type, and monitoring range for different types and periods of meteorological disasters are determined. On the one hand, the applicability of existing sensors to disaster monitoring is clarified. For example, space-based remote sensing, mainly consisting of polar-orbiting satellites and geostationary satellites, has a wide range of coverage, a strong capacity for repeated observations, and is suitable for all-weather monitoring and early warning of large-scale dynamic changes in the pregnant environment and causing factors; space-based remote sensing, which is mainly based on aircraft, unmanned aerial vehicles and aerostat, has strong mobility and high resolution and is suitable for the dynamic monitoring of sudden meteorological disasters and the rapid assessment of the physical quantity of losses in the disaster-bearing body in key areas. On the other hand, to evaluate the combined effect of different sensors to acquire data, sensor planning can be obtained quickly and accurately in the actual monitoring of meteorological disasters, and the effectiveness and feasibility of the planning scheme are also guaranteed.With the rapid development of big data technology, the availability of various types of data has been continuously broken, creating conditions for the comprehensive monitoring of meteorological disaster processes. Most of the recorded remote sensing data regard the natural environment of the earth\u2019s surface, but the perception of changes in the social environment is scarce, and there is a lack of semantic attribute information. The fusion of multi-source data is not limited to the remote sensing data, but needs to be combined with more types of information to make up for the shortcomings of remote sensing monitoring. Social media, such as Twitter, Facebook, and Weibo, has become an effective means for government departments to keep abreast of disaster developments, with its wide participation and multi-source communication channels . In the The purpose of meteorological disaster process-monitoring is to perform a semantic analysis of various types of disaster information in multi-temporal remote sensing data. The existing meteorological disaster monitoring, due to the decentralization of its tasks, makes it possible to obtain one-sided disaster information. It is necessary to construct a standardized meteorological disaster process-monitoring information model and organize all kinds of information obtained from meteorological disaster monitoring in a standardized and integrated way.The objects of meteorological disaster monitoring include the interaction law, spatial distribution and evolution process of various phenomena in the disaster system, with specific spatio-temporal characteristics. In the field of geographic information science, the geographic, spatio-temporal modeling methods mainly include the temporal snapshot model, event spatio-temporal model and process spatio-temporal model. (1) The temporal snapshot model represents geographic phenomena with continuous dynamic changes as a set of discrete objects with time stamps, displaying time as a property of space . As onlyThe process-oriented spatio-temporal modeling method can provide an important reference for the meteorological disaster process-monitoring information model. Moreover, the evolution mechanism of meteorological disasters is also reflected in the spatio-temporal process of disasters. Therefore, for information modeling in meteorological disaster process-monitoring, it is necessary to use time and space as the framework. This can formally describe the disaster content and mutual relationship among various disaster elements to provide an in-depth analysis, forecasting and early warning, disaster prevention, and relief.By abstracting the disaster state, which is complex and difficult to directly perceive, the information visualization methods can effectively express the change in the morphological characteristics and attribute information of the disaster elements. These methods also can directly and show live the influence degree and development trend of disasters, and help people acquire knowledge and discover patterns. In the present and future, it is important to realize the visual display of disaster monitoring information to assist in disaster simulation, analysis, and emergency rescue decision-making.Due to the diversity and persistence of meteorological disasters, the interrelation of all kinds of disaster information is complicated. The visualization of meteorological disaster monitoring information not only needs to deal with disaster data from different sources and complex disaster elements, but also needs to look at the key information of different users at various stages to develop visualization tasks. In the existing visualization research, no complete and universal method can accurately the characteristics of all meteorological disaster scenes and meet the needs of visualization information in different stages. In summary, visualizing the meteorological disaster monitoring information and displaying the evolutionary process of meteorological disasters is an urgent problem to be solved.The occurrence and decline of meteorological disasters occur in a cyclic evolution process, and the remote sensing monitoring of meteorological disasters is essential for disaster prevention, disaster control, disaster resistance, disaster relief, and other disaster management. As meteorological disaster monitoring has the characteristics of variable timescales, diverse monitoring objects, and complex monitoring content, it is extremely challenging to obtain information on meteorological disasters efficiently, accurately and comprehensively. Based on the analysis of the basic concepts and methodology of remote sensing monitoring in meteorological disasters, this paper reviews and studies the research status of remote-sensing monitoring for meteorological disasters from the perspective of different meteorological disaster remote sensing tasks. The reasonable and comprehensive determination of monitoring tasks is a prerequisite for accurate and effective access to disaster information. In compliance with the requirements of the monitoring task, based on the extraction of surface parameters, land-cover information extraction, target recognition and other remote sensing processing approaches, information on the pregnant environment, causes and disaster-bearing body is extracted. Furthermore, by detecting and analyzing the changes in multi-temporal meteorological disaster information, the comprehensive monitoring of meteorological disaster evolution processes, such as disaster occurrence scope, degree of disaster effects, and disaster relief progress is realized.Meteorological disaster monitoring is based on the time characteristics of the disaster process and analyzes the state changes in disaster content in each disaster element under a certain timescale. Although many remote sensing approaches were successfully used for meteorological disaster monitoring, there are still gaps in process monitoring. In the future, from the perspective of the process of meteorological disasters, the sensor-planning method and the information model of multi-temporal, remote sensing data should be studied. The improvement in various methods such as disaster information extraction abilities, the effective integration of multi-source data, and monitoring information visualization must be emphasized. More importantly, it is necessary to thoroughly study the objective internal laws of various disaster objects and disaster contents in meteorological disasters over different timescales, to reveal the relationship and influence mechanism of various pieces of disaster information in the evolution of meteorological disasters. This not only conforms to the logic and sequence of human understanding of meteorological disasters, but also provides support for the in-depth analysis of the evolution mechanism of meteorological disasters."}
+{"text": "S. aureus adhesion on pristine PMMA, HA-5% lysozyme in The authors regret to inform that, the representative images of waterborne The Royal Society of Chemistry apologises for these errors and any consequent inconvenience to authors and readers."}
+{"text": "Objectives: To investigate the epidemiological characteristics and infection routes of new cases in order to provide information for preventing COVID-19 resurgence in areas initially under control.Methods: The information of new symptomatic and asymptomatic patients in Chinese mainland was collected. The location distribution, epidemic course, infection routes and patients' characteristics of outbreaks were described and analyzed.Results: There were 43 new outbreaks with 3,795 symptomatic patients in Chinese mainland from March 21, 2020 to June 13, 2021. These outbreaks mainly occurred in central, border and coastal port cities. The main infection route of first generation indigenous patients was contact with imported cases and contaminated goods or environments. The infection routes of secondary generation patients mainly included family transmission, indoor social gathering infection, nosocomial infection and other infection routes. Family transmission was the most common infection route, and indoor social gathering was the most important reason for the large-scale outbreaks.Conclusions: Strengthen the management of imported patients and staff in high-risk posts was the key point to avoid the first generation indigenous patients. Adequate family isolation, prompt management policies for indoor public place and monitor of population at risk of infection were key strategies for preventing COVID-19 resurgence in areas initially under control. The coronavirus disease 2019 (COVID-19) pandemic, which began at the end of 2019, has been a worldwide epidemic of infectious disease . Over 17Therefore, to understand the epidemiological characteristics and main routes of the new outbreaks of COVID-19 in areas initially under control, we analyzed the epidemiological characteristics and infection routes of the outbreaks in different regions of Chinese mainland in recent 1 year, which will provide the basis for the corresponding preventive strategies.The daily new indigenous symptomatic and asymptomatic patients, start date, duration, patient number and clinical subtype were collected from the official documents released by the Health Commission of the People's Republic of China and the provinces \u201318. The The definitions of first and secondary generation indigenous patients were referred to guidelines for epidemiological investigation of COVID-19 release by the Chinese Center for Disease Control and Prevention .First generation indigenous patients were defined as the earliest symptomatic or asymptomatic patients in the epidemiological investigation of epidemics. According to the occupation of patients, the possible infection sources were investigated, including imported cases, imported goods or related environment contaminated by severe acute respiratory syndrome coronavirus 2 (SARS-CoV-2).Second generation indigenous patients were defined as symptomatic or asymptomatic patients contacted with the first generation indigenous patients within 14 days without other potential sources of infection. After identifying the first generation patients, the infection routes of the second generation patients were determined by investigating the contacts with the first generation patients, and were classified into family transmission, indoor social gathering infection , nosocomial infection and other infection routes. The definitions of other secondary generation of patients were similar.The number of symptomatic and asymptomatic patients, start date, duration and clinical subtype of patients in different epidemics were summarized in the descriptive epidemiological analysis. The numbers of daily symptomatic patients were used to describe the epidemic curves of different outbreaks. Statistical map was used to describe the location distribution of outbreaks, in which the area of the circle was proportional to the number of patients. The infection routes of first and secondary generation patients were extracted and summarized from the epidemiological investigation to identify the key infection routes of patients.On March 21, 2020, the first indigenous patient cause by imported patient was reported in Guangzhou, who did not cause further transmission. However, in the past year, there have been some new outbreaks with a large number of indigenous confirmed cases in Harbin, Beijing, Urumqi, Dalian and other cities . In ApriIn May, four outbreaks also occurred in Yingkou, Lu'an, Guangzhou and Shenzhen. Among them, the outbreaks in Yingkou and Lu'an belonged to the same transmission chain, and the source might be cold chain food in Yingkou, resulting in 24 symptomatic and 23 asymptomatic patients in both cities. On May 21, a new indigenous patient was reported in Guangzhou, which leaded to rapid spread of COVID-19 through family transmission and indoor gathering, resulting in fifth generation of transmission and 139 symptomatic cases. On the same day, one indigenous asymptomatic patients was reported in Shenzhen, and four symptomatic and 12 asymptomatic patients were reported in the next few days, who were all employees of an international freighter operation company and their close contacts.By June 13, 2021, 43 new indigenous outbreaks have occurred in Chinese mainland, mainly distributed in central cities, border cities in the inland areas and coastal port cities . The citIn the new indigenous outbreaks, the infection routes of the first generation patients were mainly direct or indirect contact with imported patients, goods or environments contaminated by SARS-CoV-2. Therefore, the indigenous patient included staff or nearby residents contacted with imported cases in quarantine hotels, families infected by imported cases during home quarantine, and staff contacted with contaminated imported cold chain food or environment of inbound aircraft and freighter.The infection routes of secondary generation patients included family transmission, indoor social gathering infection , nosocomial infection and other infection routes . Family Prevention of COVID-19 pandemic is the top priority in the world. After the outbreaks have been controlled in some countries or areas, the normal work, life and foreign exchanges should be restored. Therefore, the focus of prevention in these countries was to prevent the resurgence of COVID-19 epidemic due to imported patients. In this study, we analyzed the epidemiological characteristics and infection routes of new indigenous outbreaks in Chinese mainland in recent 1 year after the pandemic in Wuhan was controlled. The results showed that the new indigenous outbreaks mainly occurred in central cities, border cities in the inland areas and coastal port cities. The main infection routes of first generation patients were direct or indirect contact with imported cases, imported goods or related environment contaminated by SARS-CoV-2. The infection routes of the secondary generation patients mainly included family transmission, indoor social gathering infection, nosocomial infection and other infection routes. Although these outbreaks have been controlled in a short time, there were still some gaps in community prevention and nosocomial infection control in new COVID-19 outbreaks.The first generation patients were the source of COVID-19 resurgence and the focus of preventive strategies. The first generation patients of 15 outbreaks were related with imported patients, suggesting the necessity of stricter isolation management of entry personnel \u201325. The The first generation patients of seven outbreaks were related with the contaminated imported goods or environments, including cold chain food, container, freighter, aircraft and so on \u201328. TherCompared with the first generation patients, the infection routes of secondary generation patients were more diversified, and there were a large number of asymptomatic patients, which increased the difficulty of prevention , 32. In Nucleic acid test was an important method for etiological diagnosis of COVID-19, especially for asymptomatic and atypical patients. However, false negative results were found in some imported patients, indigenous symptomatic and asymptomatic patients before diagnosis. In addition to the low viral load in some patients' nasopharynx, it may also be related with the process of collection and transportation of specimens , 38. TheIn summary, the prevention of new indigenous epidemic in areas initially under control was an important issue during the pandemic of COVID-19. We analyzed the new indigenous outbreaks in Chinese mainland, and found that these outbreaks mainly occurred in central, border and coastal port cities. The first generation patients were mainly infected by contacting imported patients, contaminated goods and environment, and secondary patients were mainly infected through family transmission, indoor social gathering and nosocomial infection. Strengthen the management of imported patients and staff at high-risk of SARS-CoV-2 infection was the key point to avoid the first generation indigenous patients. When the new indigenous epidemic occurred, prompt management of indoor public place and monitoring of population at risk of infection using big data can avoid large-scale epidemic.The raw data supporting the conclusions of this article will be made available by the authors, without undue reservation.YL: investigation, visualization, and writing\u2014original draft preparation. KY: investigation, data curation, and writing\u2014reviewing and editing. SZ: investigation, methodology, and writing\u2014reviewing and editing. LW: investigation, writing\u2014reviewing and editing, and conceptualization. RC: conceptualization and writing\u2014reviewing and editing. All authors contributed to the article and approved the submitted version.This work was supported by the Emergency Research Project of COVID-19 of Zhejiang University (grant number: 2020XGZX024).The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest.All claims expressed in this article are solely those of the authors and do not necessarily represent those of their affiliated organizations, or those of the publisher, the editors and the reviewers. Any product that may be evaluated in this article, or claim that may be made by its manufacturer, is not guaranteed or endorsed by the publisher."}
+{"text": "Despite the preventability of cervical cancer, the global burden remains high with 604,000 cases and 342,000 deaths estimated in 2020 . IncidenWith the political momentum in place to eliminate the disease over the next decades via national scale-up of the triple intervention strategy, we would like to highlight the current situation in the Newly Independent States (NIS) of the former Soviet Union.Opportunistic annual cytology screening of broad age groups \u2013 frequently using Romanowsky-Giemsa staining \u2013 remains a common practice in many NIS ; while nUsing the national and subnational cancer registry data from four NIS for the period 2008\u20132017, we examined the time trends in recorded age-standardised (world) incidence rates of invasive cervical cancer. Rates are uniformly high, and trends appear either stable or slightly increasing over the 10-year period . Given tAs a way forward towards cervical cancer elimination in the region, we advocate a radical shift in national policies in the NIS, away from opportunistic screening towards population-based, quality-assured HPV vaccination and HPV-based screening programmes. IARC partners with WHO Regional Office for Europe to improve screening policies and practices in the NIS, and to build capacity for quality assured screening and for population-based cancer registries, thus enabling the benchmarking of national progress in HPV-related cancer control in the forthcoming decades.Where authors are identified as personnel of the International Agency for Research on Cancer / World Health Organization, the authors alone are responsible for the views expressed in this article and they do not necessarily represent the decisions, policy or views of the International Agency for Research on Cancer / World Health Organization.The authors report no declarations of interest."}
+{"text": "This study used Latent Class Analysis to examine patterns of social participation among older adults in the US, the UK, and China, from the three nationally representative surveys conducted in 2018-2019: The Health and Retirement Study, the English Longitudinal Study of Ageing, and the China Health and Retirement Longitudinal Study. Although the profiles of social participation were distinctively different, several common patterns were found: Comprehensive Participants, Occasional Participants, and Deficient Participants. It was estimated that less than 10% of older adults from these countries were extensively engaged in social participation. Seventy-seven percent of Chinese older adults were shown being \u201cDeficient Participants\u201d, and the percentages were 29% and 20% in the US and the UK, respectively. The findings showed positive associations of levels of participation with socioeconomic status and health. The magnitudes of these associations varied across the nations. Actions are needed to promote levels of participation for Chinese older adults."}
+{"text": "For 15 years, the Annual African Vaccinology Course (AAVC) hosted by the Vaccines for Africa Initiative, has been at the forefront of vaccinology training in Africa. The AAVC was developed in 2005 in response to the growing demand for vaccinology training in Africa. To date, 958 policy makers, immunization managers, public and private health practitioners, scientists, postgraduate and postdoctoral students have been trained. These participants are from 44 of the 54 African countries. The course content covers diverse topics such as considerations for new vaccine introduction, mathematical modelling, and emerging and re-emerging vaccine preventable diseases. As the landscape of vaccinology continues to evolve, the AAVC aims to expand the reach of vaccinology training using blended learning approaches which will incorporate online and face-to-face formats, while expanding access to this popular course. Ultimately, the AAVC endeavours to develop a big pool of vaccinology expertise in Africa and to strengthen regional ownership for immunization programmes. Immunization programmes in Africa have achieved remarkable progress since the introduction of the Expanded Programme on Immunization (EPI) in 1974 ,3. The sAims of the course: the aim of the AAVC is to: (i) broaden understanding of the challenges and opportunities in vaccinology at regional and global levels, (ii) equip participants with essential expertise to support national immunization programmes, (ii) build sustainable research capacity for vaccine development including the conduct of high quality phase I-IV vaccine trials in Africa, (iv) explore the roles and challenges of National Immunization Technical Advisory Groups (NITAGs) in strengthening immunization policies in Africa, and (v) foster collaboration and networking among African vaccinologists.Course content: since the inception of the AAVC in 2005, the course content has evolved in response to the rapidly growing field of vaccinology and the increasing demand for developing vaccinology expertise in Africa. Further information on the AAVC course content may be sourced from the VACFA website [ website . BrieflyFormat of the course: this is usually a five-day face-to-face course taking place in the last quarter of the year. While previous versions of the AAVC were held in several African countries [ountries , this waountries . The onlth AAVC in 2018, the NITAG workshop was held over 1.5 days. Attendees of the workshop included core members and secretariat of NITAGs from nine African countries, namely; Angola, Cameroon, Ghana, Nigeria, Rwanda, South Africa, Tanzania, Togo and Uganda. Discussions were facilitated by representatives from VACFA and the World Health Organization (WHO) [As part of VACFA\u00b4s initiative to strengthen the vaccine policy and decision-making landscape in Africa, the scope of the AAVC was extended in 2018 to include a workshop dedicated to exploring the roles of, and challenges faced by NITAGs. The workshop is a networking opportunity and explores possible technical and scientific support mechanisms for NITAGs in Africa. In its first offering during the 14on (WHO) . This waCourse participants: a report on the participants and faculty members of the AAVC held between 2005 and 2010 was previously published [ublished . BetweenCourse faculty members: about 116 faculty members have given talks in the AAVC between 2011 and 2019. On average, 33 faculty members regularly give talks at the AAVC each year. The AAVC faculty is well-represented by local, regional and international experts from relevant fields across the vaccinology cascade, including academia, global health agencies, non-governmental agencies and the pharmaceutical industry for vaccines and immunization, integration of health economics and mathematical modelling in EIDM, Covid-19 vaccine rollout, and vaccine safety monitoring. In addition, the AAVC may be adapted to meet specific training needs of NITAGs. As we move towards the Immunization Agenda 2030 , the AAV"}
+{"text": "The Omnibus Budget Reconciliation Act (OBRA) of 1987 included provisions for the Preadmission Screening and Resident Review (PASRR) program, which requires states to create and maintain systems to assess persons with serious mental illness (SMI) seeking NH care. The prevalence of SMI in NHs is increasing, and little is known about the effectiveness of the PASRR program intervention. We conducted 20 interviews with state and national PASRR stakeholders, including assessors, hospital discharge planners, mental health advocates, geriatricians and geriatric psychiatrists. Interview data were triangulated with state provided materials on PASRR collection and implementation. Based on these interviews, we identified four themes: 1) variation in the implementation of federal PASRR legislation across states and jurisdictions, 2) the need for investment in professional development and workforce capacity, 3) lack of usefulness of PASRR in ongoing care planning, and 4) the need to consider the role of age, race/ethnicity, and stigma on quality of care for NH residents with SMI. Stakeholders agree that PASRR legislation was well intentioned, but also expressed concern regarding the completion of PASRR as an issue of compliance versus meaningful assessment. More work is needed to determine how best to develop and support the care needs of people with SMI, while being mindful of the original goals of deinstitutionalization that prompted OBRA passage. In order to assess the impact of the PASRR program on quality of care and mental health outcomes, further research should take an evaluative approach through meaningful use of PASRR data."}
+{"text": "Forests are key components of European multifunctional landscapes and supply numerous forest ecosystem services (FES) fundamental to human well-being. The sustainable provision of FES has the potential to provide responses to major societal challenges, such as climate change, biodiversity loss, or rural development. To identify suitable strategies for the future sustenance of FES, we performed a solution scanning exercise with a group of transdisciplinary forest and FES experts from different European regions. We identified and prioritized fifteen major challenges hindering the balanced provision of multiple FES and identified a series of potential solutions to tackle each of them. The most prominent challenges referred to the increased frequency and impacts of extreme weather events and the normative mindset regarding forest management. The respective solutions pointed to the promotion of forest resilience via climate-smart forestry and mainstreaming FES-oriented management through a threefold strategy focusing on education, awareness raising, and networking. In a subsequent survey, most solutions were assessed as highly effective, transferable, monitorable, and with potential for being economically efficient. The implementation of the solutions could have synergistic effects when applying the notion of leverage points. Seven emerging pathways towards the sustainable supply of FES have been identified. These pathways build on each other and are organized based on their potential for transformation: (1) shifting forest management paradigms towards pluralistic ecosystem valuation; (2) using integrated landscape approaches; (3) increasing forest resilience; (4) coordinating actions between forest-related actors; (5) increasing participation in forest planning and management; (6) continuous, open, and transparent knowledge integration; and (7) using incentive-based instruments to support regulating and cultural FES. These pathways can contribute to the implementation of the new EU Forestry Strategy to support the balanced supply of multiple FES.The online version contains supplementary material available at 10.1007/s11625-022-01111-4. European forests are ecosystems that deliver manifold benefits to society via so-called Forest Ecosystem Services (FES) . On the first day, each thematic group prioritized and characterized the respective subsets of thematic challenges resulting from the exploratory survey. The prioritization included, for each challenge, a general assessment of the urgency , their impact , the types of FES affected, scale, and the inter-relations between each of these challenges and all the thematic areas. Accordingly, each thematic group reduced the list of challenges to the five most relevant. At the end of the first day, the number of challenges was reduced through a series of anonymous majority voting rounds in plenary to the three most pressing challenges for each thematic area. During the second day, the thematic groups reconvened to formulate and characterize strategic solutions for each of the three selected challenges. The characterization consisted of a description of the solution, the feasibility of implementation, a time frame, and the resources needed for application. A detailed account of the whole process, including the definition, framing and prioritization of the challenges (first day of the workshop); and the identification and characterization of the strategic solutions (second day of the workshop) can be found in S3.During the third phase, the identified solutions were evaluated in an online survey distributed to all participants in January 2021 (S2). The respondents rated each solution according to five different criteria of optimal solutions, adapted from the concept report on climate policy-mix optimality Gorlach see Box was usedThe participants in the solution scanning process were 24 experts from academia, policy, and practice working directly on FES in Europe. Most participants (90%) were related to the EU Horizon 2020 funded projects SINCERE and InnoForESt,\u00a0both dealing with the promotion of FES-related innovations. A team of three facilitators selected from both projects supported the implementation of the solution scanning exercise. About expert participants, particular attention was paid to balance backgrounds between academia and practice, disciplines, geographic foci, seniority level, and gender (S4).Most of the selected experts worked at research organizations at the interface between science, policy, and practice (41%). The covered areas of knowledge of the forestry sector were broad, including experts on forest ecosystem services governance and innovation, urban forestry and European forest policy. Partly because the coordination of both of the Horizon 2020 projects is based in Germany, most of the participants worked at German organizations (41%). However, seven other European countries were also represented in the exercise, namely Spain, Italy, Austria, Belgium, Switzerland, Finland, and Sweden. A balanced gender representation was achieved and consciously maintained along the process.This solution scanning exercise synthesizes the currently fragmented views on forest challenges and targets suitable solutions to foster the sustainable provision of FES. The organization of the exercise into three well-defined phases allows a clear and transparent communication among the coordinators and experts, facilitating a smooth iterative process. Due to COVID-19 restrictions, the participatory process was conducted entirely online. Two important aspects of this sequential participatory method have been the regular communication with the group to ensure a shared understanding of the process, the use of preparatory materials before and after each workshop through two surveys (S1 and S2), and the presentation of the state of the work at the beginning of each phase of the solution scanning session. However, we must emphasize that the results highly depend on the participant contributions and the specific timing of the survey and workshops, which is a limitation of our approach.After the prioritization process, 15 challenges were selected, three per thematic area, based on their urgency and impact . The suitability of each solution was subsequently assessed and ranked based on the following six criteria: social\u2013ecological effectiveness, economic efficiency, readiness, feasibility, and transferability potential (Box 1). Table Sustainability Area: Environment; Challenge 1\u2014Increasing frequency and intensity of extreme weather eventsClimate-smart forestry is a targeted approach to manage forests in response to climate change should be consistently supported by cross-scale European and national policies similar to those in place for timber and biomass production . These strategies are often coupled with a philosophy of embracing innovations towards improved forest management for the provision of FES bundles, especially for regulating and cultural FES, for the promotion of ecological and societal transformation, and for the sustainable use of public goods. Public forests would be used as niches of innovation Geels of, for Sustainability Area: Socio-culture; Challenge 13\u2014Homogenization of perceptions of forest values by societyUnderstanding forests as a mean to solve economic problems is a reductionist standpoint. In the pursuit of sustainable forest management, increased identification and inclusion of cultural bonds is crucial. To achieve a deeper understanding of the mutual constitution of the society\u2013forest relation, it is also necessary to recognize the multi-layered spectrum of forests\u2019 contributions . European studies of public perception for business model implementation to strengthen their adaptation to each specific context. For example, by refocusing on forest protection measures . These types of solutions would normally require long-term commitment, institutional changes, and socio- political will . Furthermore, they directly or indirectly interfere with long-established cultural elements or strong economic interests . These solutions can be considered as aiming for or being dependent on larger, perhaps even fundamental system changes which require the alteration of existing paradigms, institutions , and actors\u2019 behaviors.A closer look at the solutions\u2019 definitions and prioritization suggests a possible sequence of implementation. Inspired on the notion of leverage points, where solutions can induce shallow or deep changes connection between people and nature. Forestry education at all levels, forest management, and policies need to pursue a shift from the consideration of instrumental values, to increasingly considering intrinsic and especially relational value dimensions , or through user-financed PES in those areas where there is sufficient willingness to pay for a specific FES Supplementary file2 (XLSX 15 KB)Below is the link to the electronic supplementary material."}
+{"text": "H\u00f4pital D\u2019instruction des Arm\u00e9es de Cotonou Centre Hospitalier et Universitaire]) laboratory in Benin launched a quality improvement programme in alignment with the World Health Organization Regional Office for Africa\u2019s Stepwise Laboratory Improvement Process Towards Accreditation (SLIPTA). Among the sub-Saharan African laboratories that have used SLIPTA, few have been francophone countries, and fewer have belonged to a military health system. The purpose of this article was to outline the strategy, implementation, outcomes and military-specific challenges of the HIA-CHU laboratory quality improvement programme from 2015 to 2018.In 2015, the Army Teaching Hospital\u2013University Teaching Hospital (HIA-CHU [The strategy for the quality improvement programme included: external baseline SLIPTA evaluation, creation of work plan based on SLIPTA results, execution of improvement projects guided by work plan, assurance of accountability via regular meetings, training of personnel to improve personnel competencies, development of external stakeholder relationships for sustainability and external follow-up post-SLIPTA evaluation.Over a period of 3 years, the HIA-CHU laboratory improved its SLIPTA score by 29% through a quality improvement process guided by work plan implementation, quality management system documentation, introduction of new proficiency testing and internal quality control programmes, and enhancement of personnel competencies in technical and quality management through training.The programme has yielded achievements, but consistent improvement efforts are necessary to address programme challenges and ensure continual increases in SLIPTA scores. Despite successes, military-specific challenges such as the high mobility of personnel have hindered programme progress. The authors recommend that further implementation research data be shared from programmes using SLIPTA in under-represented settings such as military health systems. H\u00f4pital D\u2019instruction des Arm\u00e9es de Cotonou Centre Hospitalier et Universitaire]) of the Benin Army Health Service in Cotonou is a reference health centre known for the quality of its services and training. The HIA-CHU laboratory plays a leading role in the public healthcare continuum by providing diagnosis, screening, and initial and follow-up treatment as well as preventative care.1 Therefore, the HIA-CHU laboratory prioritises quality, in that it promotes the accuracy, reliability and timeliness of results.The Benin Army Health Service provides healthcare to army personnel, their families and civilians across Benin. The Benin Army Health Service is involved in disaster response and supports the Beninese public health system, with approximately 75% \u2013 80% of its services provided to the civilian population. The Army Teaching Hospital\u2013University Teaching Hospital 15198:2012 standard, \u2018Medical Laboratories\u2013Particular requirements for quality and competence\u2019, serves as a standard for the laboratory quality management system (QMS) \u2013 a formalised system that outlines required structures and functions for medical laboratories. Progress made on the ISO 15189 standard can help a laboratory prepare for accreditation through a recognised agency; this allows the laboratory to demonstrate to clients, partners and staff that it has attained a high level of technical competence, thus instilling confidence in stakeholders on the accuracy and reliability of its results.In recent years, there has been an emphasis on improving medical laboratory services globally. Health priorities have been set forth by public declarations, such as the International Health Regulations and the Maputo Declaration (2008), in which signatories pledged to address and strengthen laboratory and health services.3 Though progress has been made, most clinical laboratories in sub-Saharan Africa remain under-equipped, under-funded and far from attaining international norms and standards. Few laboratories are accredited to international quality standards, and most of these internationally accredited laboratories are based in South Africa.4 Quality assurance, which comprises QMS including the existence of a quality manual, use of internal quality controls (IQC) and participation in external quality assessment (EQA), is poorly implemented and often unavailable in many laboratories in sub-Saharan Africa.7 In the absence of quality assurance, there is the risk of laboratory errors, which could adversely impact patient care.In sub-Saharan Africa, the clinical laboratory remains a weak link in the healthcare chain.8 The African Society of Laboratory Medicine serves as the secretariat of the World Health Organization Regional Office for Africa SLIPTA programme. The SLIPTA framework guides improvement of performance, measures and evaluates the progress of laboratories towards ISO 15189 international accreditation and awards a certificate of recognition from zero to five-star ratings.9To alleviate these challenges and support awareness of the importance of achieving quality standards in medical laboratories in sub-Saharan Africa, the World Health Organization Regional Office for Africa developed in 2009 a phased laboratory quality management evaluation system called the Stepwise Laboratory Quality Improvement Process Toward Accreditation (SLIPTA).The HIA-CHU in Cotonou, Benin, has a staff consisting of military and civilian personnel and includes a clinical pathologist, 12 medical laboratory scientists and support staff. The services provided include medical fitness evaluation, disease prevention, treatment and care, and teaching and research in medical, biological, pharmaceutical, paramedical, odontological and veterinary specialities. Laboratory services at HIA-CHU are versatile and the laboratory manages, on average, 20 000 patient files and 50 000 tests per year.In January 2015, the HIA-CHU laboratory service initiated, for the first time, a quality improvement (QI) programme in alignment with the SLIPTA framework. The QI programme goal was to improve laboratory services related to disease diagnosis and monitoring via the implementation of QMS using SLIPTA framework. The QI programme aimed to provide training for laboratory personnel on quality management concepts and practices, monitor laboratory quality and adherence to quality systems, conduct laboratory test method validation and provide proficiency testing panels for HIV, tuberculosis and other critical tests \u2013 successful implementation of the QI programme ensures that laboratory stakeholders and end-users have confidence in laboratory data which informs clinical decisions and optimises patient care.The HIA-CHU laboratory QI programme was launched through a collaboration with the US Department of Defense HIV/AIDS Prevention Program (DHAPP). As of 2015, the Benin Army Health Service already had a long-standing collaboration with DHAPP, which had been funding laboratory equipment and reagents, specifically to support HIV diagnosis and treatment monitoring. Over the years, both parties recognised that laboratory tests and equipment alone are not sufficient to demonstrate test result quality; tests and equipment must be accompanied by laboratory quality practices implemented by properly trained and motivated personnel. To address this recognised need, DHAPP began supporting the Benin Army Health Service in the execution of the HIA-CHU laboratory QI programme in 2015, with implementation assistance provided by the United States-based global health company Global Scientific Solutions for Health .The purpose of this article is to report on the implementation of the QI programme at the HIA-CHU laboratory from 2015 to 2018.The laboratory QI programme began in January 2015 with initial programme planning among stakeholders and the facilitation of a comprehensive baseline evaluation of the HIA-CHU laboratory by GSSHealth using the World Health Organization Regional Office for Africa SLIPTA checklist, version 2:2015. The baseline SLIPTA evaluation allowed the assessment of the 12 quality management sections: organisation and personnel, management reviews, process control and internal quality assessment and EQA, information management, corrective action, equipment, purchasing and inventory, documents and records, occurrence management and process improvement, internal audit, client management and customer service, and facilities and safety.Following the evaluation, leaders from HIA-CHU, DHAPP and GSSHealth convened for a collaborative session to review findings, identify priority QI areas and develop a tailored QI approach for each priority area.A tailored QI approach was developed to strengthen HIV testing processes \u2013 the focus of the funding agency DHAPP; it covered the identification of key quality indicators to track and improve upon over time and the development and execution of the QI work plan.The key indicators identified to measure laboratory improvement based on ease of collection and relevance to the work plan included:SLIPTA: Percentage improvement in total and by section.EQA: Percentage score in PT programme.IQC: Accuracy of quality control results.Personnel training: Percentage change in theoretical test scores for training workshops.Laboratory documentation: Number of documents created and adequately implemented to standardise laboratory practices and formalise the commitment to the QMS.The laboratory-set targets were: continual improvement in the SLIPTA score through the establishment and implementation of improvement projects tracked by work plans, participation in EQA and PT and improvement of performance where the score is less than 100%, participation in IQC activities and improvement of processes in case of discrepancies between expected and obtained results, strengthening of laboratory quality management processes guided by well defined documentation, and the advancement of laboratory personnel competencies through training and mentorship workshops.The HIA-CHU laboratory supervisor facilitated work plan development in collaboration with partners and laboratory staff. The work plan included high-level QI goals, specific objectives for each goal and details of specific, measurable, achievable, realistic, and timely, or \u2018SMART\u2019, tasks and deliverables to meet set targets within defined timeframes see .The work plan was progressively implemented and updated through improvement project execution, progress monitoring, ongoing data collection and review, and continual alignment with the funder\u2019s priorities. Staff were engaged in the work plan implementation through their appointments to specific QI projects with oversight by the laboratory supervisor, and through continuous engagement in recurring collaborative work plan update meetings to promote accountability. Quality improvement activities conducted in the context of the work plan included: nomination of new QMS personnel roles , targeted laboratory personnel training and mentorship, implementation of EQA and IQC, definition of essential QMS processes and development and use of associated documentation, and coordination of a follow-up SLIPTA evaluation to measure progress.From the baseline SLIPTA evaluation, the identified priority issues, which correspond to low-scoring SLIPTA sections, include the following: the lack of a quality manual or safety manual, the lack of standard operating procedures for all processes and technical procedures, the lack of PT and quality control for tests, the lack of equipment maintenance and repair logs, the lack of temperature monitoring processes, and the lack of mistakes or error logs.The initiation and implementation of a QI programme at the HIA-CHU laboratory yielded numerous positive changes as perceived by HIA-CHU hospital leadership, laboratory management and staff, and partners . Positive changes included the establishment of a laboratory quality management team, achievement of designated QI projects resulting in SLIPTA score improvements, the improvement of IQC and EQA test result accuracy, the development and implementation of over 50 standard operating procedures, and the strengthening of personnel competencies through targeted QMS training and mentorship. Throughout the years of the QI programme, support from funding partner DHAPP and implementing partner GSSHealth ensured continuous evaluation of processes via the internal and external evaluations and the update of work plans and associated QI projects.The engagement of laboratory staff was key to the establishment and implementation of the laboratory QI work plan at HIA-CHU. To encourage staff commitment to the QI approach and ensure staff in-depth orientation to quality management concepts and testing processes, the laboratory QI approach prioritised staff training and mentorship.Over 50 technicians participated in training workshops on QMS co-organised and co-facilitated by the Benin military health system and GSSHealth. All training sessions consisted of didactic and interactive sessions and tests were administered pre- and post-training to evaluate knowledge change among the trainees. The median change in test score from pre-training to post-training for all the trainees increased from 15% to 40% . ImproveIn the first year of the programme, two quality workshops were held for laboratory staff with GSSHealth facilitators. The objectives of the workshops were to improve the competency of laboratory staff in the areas of quality assurance, QMS and HIV and tuberculosis testing. These topic areas were priorities for the laboratory director and DHAPP \u2013 the funder, whose focus is the prevention and control of HIV and HIV comorbidities. The first workshop took place in April 2015 with a focus on quality management concepts for equipment management, document writing and EQA. Staff received guidance and mentorship on HIV rapid testing. A second workshop took place in September 2015, with a focus to increase staff competency on laboratory supply chain and stock management. At the end of the first year, a follow-up SLIPTA evaluation was conducted.In 2016, the QI programme continued with an updated work plan, and laboratory staff participated in a national biosafety and biosecurity workshop hosted by the Ministry of Defense and the Ministry of Health. The second year concluded with a poster presentation by the HIA-CHU laboratory supervisor on the quality programme at the African Society of Laboratory Medicine international conference in December 2016.In 2017, the laboratory quality team updated their quality work plan, worked with laboratory personnel on QI projects, implemented the use of quality controls for CD4 testing, and organised an internal SLIPTA evaluation. In April 2017, one laboratory staff member from HIA-CHU was sponsored to attend a multi-country, 5-day training workshop in Senegal. The workshop covered essential aspects of laboratory quality management, including document management and standard operating procedure writing; equipment management and maintenance; error occurrence management, prevention and corrective action, and quality indicators. Finally, a follow-up external SLIPTA evaluation was conducted in October 2017 to re-evaluate the laboratory system, measure progress since the previous external SLIPTA evaluation, and update the QI programme.As the QI programme moved into its third year in 2018, the laboratory again updated its work plan, based on the previous evaluation, and revised and updated key documentation including the laboratory quality manual and biosafety manual. In April 2018, a joint Ministry of Defense and Ministry of Health laboratory biosafety and quality management workshop was organised, to increase staff competency on principles and ISO standards for biosafety and biosecurity.Through its ongoing commitment to training personnel in both technical and quality management topics, the laboratory has observed significant improvements in staff competencies and performance. For example, the SLIPTA sections in which the laboratory achieved the most significant quality improvements correspond to the quality management topics covered during training workshops. Data from the QI programme showed that post-training, personnel knowledge was improved and retained . AdditioThe laboratory document management system has been developed gradually over time and has included the creation and implementation of a quality manual, a biosafety manual, a sample collection manual and more than 50 standard operating procedures, technical instructions, forms and logs . The laboratory supervisor and designated quality manager took the lead in developing documents, executing a document management process, and introducing new documents into circulation in the laboratory. Laboratory personnel were oriented to new documents and procedures during regular laboratory meetings, facilitating the understanding and proper use of new documents. The availability of procedures and other documents helped laboratory management ensure that personnel observed standardised processes across the pre-analytical, analytical and post-analytical phases, and simplified the training of new personnel. Furthermore, to ensure that only correct and updated documents were available in the laboratory, processes to control document revision, approval and version release were instituted by the laboratory supervisor and quality team.In September 2015, the HIA-CHU laboratory enrolled and participated in an annual PT programme for HIV serology with commercial EQA provider Thistle quality assurance, and later with the Benin Ministry of Health, to promote sustainability. During the four EQA events for HIV serology, nine technicians participated, and PT scores of 100% were obtained. No corrective action was needed to improve proficiency; laboratory personnel were nonetheless oriented on root-cause analysis, and corrective and preventive action in case of future instances of lower EQA scores.In 2018, the HIA-CHU laboratory participated in two commercial haematology EQA programmes with Human Quality Assessment Services. The laboratory results for the first haematology EQA test were in the acceptable range for all analytes except for monocytes or mid cells, due to a reporting error. As a corrective action, the laboratory established a system for the supervised recording of results, in which the laboratory section supervisor verifies the accuracy of test results entered manually by technicians, after which results are entered into a computer by a secretary and printed for final validation. This process has helped reduce transcription errors.The HIA-CHU also began an IQC programme in biochemistry for the first time, in which the laboratory used high, normal and low commercial controls on equipment daily. When control values are outside the acceptable range, the laboratory staff will conduct a root-cause investigation and analysis. Elements to be investigated include reagents , room temperature, quality of distilled water, quality of the control product, etc. If the issue persists after the above steps, the equipment is then recalibrated. All corrective actions and measures taken are documented and recorded.Overall improvement of the laboratory\u2019s quality system was demonstrated by a 29% increase in SLIPTA score, from 16% at baseline evaluation in 2015 to 45% at the follow-up evaluation in 2017 see .Since 2018, reliance on the Ministry of Health National HIV Reference Laboratory for the administration of an HIV serology PT programme has allowed the HIA-CHU laboratory and other military laboratories to ensure a more sustainable and affordable PT option.Several important factors can explain the successes achieved during the QI programme. The laboratory leadership and staff benefited from the strong support of the hospital management, thus underpinning laboratory staff motivation to sustain quality improvements. Also, the implementing partner provided support in the execution of work plans, drafting of procedures, funding of training visits and organisation of regular teleconferences to track progress. The implementing partner provided sound advice for the appropriation of the quality approach and the implementation of improvement steps.8 Military health systems face unique challenges that impact their laboratory QI efforts; the challenges and associated responses of HIA-CHU laboratory may be relevant to other military laboratory programmes or to non-military laboratories that have limited funds to invest in QI efforts. Regardless of improvements made, QI is a never-ending process and the sustainability of gains is not guaranteed.10 Despite the quality advancements made over the past several years, challenges remain, requiring corrective action to ensure the efficacy of the ongoing programme.13 The issue of the high mobility of military personnel has made it difficult to fully and consistently integrate staff into quality laboratory operations and maintain the laboratory QMS. As a result of high staff turnover \u2013 a key facet of the military system \u2013 all members of the starting laboratory quality team are no longer in service at the HIA-CHU laboratory in Cotonou. Continuous staff turnover in part explains the slowdown in progress observed between the 2016 and 2017 follow-up evaluations. Staff mobility has also negatively impacted the timelines for the execution of planned activities such as management reviews, internal evaluations and inventory processes, for all of which personnel must be properly trained and oriented to ensure their execution per SLIPTA and ISO 15189 requirements.Although SLIPTA is an adaptable structure and was used to guide the HIA-CHU laboratory\u2019s quality successes, its formal implementation in francophone African countries and military contexts has been limited.Although the laboratory QI programme has incorporated training workshops, the programme would benefit from the establishment of a structured framework for continous personnel training allowing the laboratory to maintain a pool of trained and dedicated personnel.Going forward, the ambition of HIA-CHU laboratory is to continue advancing in laboratory quality using the SLIPTA guideline, to ultimately achieve a five-star SLIPTA rating and become internationally accredited to the ISO 15189 standard. The HIA-CHU laboratory also has the support of the Benin military health system authorities to expand the QI programme to multiple laboratory sites, prioritise the accreditation of clinical laboratories, and to integrate accreditation programmes into health sector policy and development programmes. To date, the HIA-CHU laboratory has expanded the QI programme to military clinical laboratories in Ouidah, Porto-Novo and Parakou. Military laboratory leaders envision the further expansion of the QI programme to additional military sites using a network approach."}
+{"text": "Noradrenaline (NE) is a catecholamine acting as both a neurotransmitter and a hormone, with relevant effects in modulating feeding behavior and satiety. Several studies have assessed the relationship between the noradrenergic system and Eating Disorders (EDs). This systematic review aims to report the existing literature on the role of the noradrenergic system in the development and treatment of EDs. A total of 35 studies were included. Preclinical studies demonstrated an involvement of the noradrenergic pathways in binge-like behaviors. Genetic studies on polymorphisms in genes coding for NE transporters and regulating enzymes have shown conflicting evidence. Clinical studies have reported non-unanimous evidence for the existence of absolute alterations in plasma NE values in patients with Anorexia Nervosa (AN) and Bulimia Nervosa (BN). Pharmacological studies have documented the efficacy of noradrenaline-modulating therapies in the treatment of BN and Binge Eating Disorder (BED). Insufficient evidence was found concerning the noradrenergic-mediated genetics of BED and BN, and psychopharmacological treatments targeting the noradrenergic system in AN. According to these data, further studies are required to expand the existing knowledge on the noradrenergic system as a potential target for treatments of EDs. The Central Nervous System (CNS) produces and utilizes a series of neurochemical transmitters (or neurotransmitters), binding to different receptors to stimulate intracellular signaling pathways. These molecules are synthesized by a limited number of neurons pertaining to specific brain nuclei, and project their extensive ramifications to widespread CNS regions, regulating signals form external and internal stimuli . The catNE is synthesized in neurons, containing the dopamine-b-hydroxylase enzyme, catalyzing the conversion of DA to NE . The maiDespite dopaminergic control of eating and feeding-related reward remaining the most extensively studied issue in this field, a series of relevant studies have investigated the noradrenergic regulation of feeding behavior. In a classic study of Grossman , the injSuccessively, researchers have investigated the potential effect of variations in the noradrenergic activity on feeding behavior. Desmethylimipramine, a noradrenalin uptake antagonist, has been injected into the prefornical hypothalamus of satiated rats, thus promoting eating behavior . SibutraTogether, this evidence suggests the relevant role of the noradrenergic system in the regulation of feeding behavior, indicating the possible specific actions of endogenous and exogenous NE in influencing human nutrition.Besides its relevant direct, hypothalamus-based actions on feeding regulation, the noradrenergic system is indirectly implied in various endocrine networks controlling humane nutrition. Namely, ghrelin, neuropeptide Y (NPY), cholecystokinin (CCK), leptin, oxytocin, and insulin, six hormones involved in the regulation of feeding and satiety, may interact with noradrenergic peripheral networks . PeripheEating Disorders (EDs) are psychiatric disorders characterized by persistent disturbances of eating behaviors, resulting in the altered consumption or absorption of food and significantly impair physical health or psychosocial functioning . EDs areCurrent research suggests that multiple pathogenetic factors are involved in the development of EDs. Genetic and neurodevelopmental factors have been hypothesized to explain the significant comorbidities between EDs and a series of psychiatric disorders, such as Anxiety Disorders, Mood Disorders, and Autism Spectrum Disorder ,32. AddiThe role of the catecholaminergic systems in the pathogenesis of EDs has been addressed by a series of studies; in particular, a relevant systematic review by Kontis and Theochari assessed the involvement of dopamine in the development and management of Anorexia Nervosa (AN) . The autDespite the evidence on the links between catecholaminergic transmission and feeding behavior, no specific review has systematically addressed the relationship between the noradrenergic system and EDs.This systematic review aims to highlight the existing literature on the role of the noradrenergic system in the pathogenesis, transmission and treatment of EDs. The research questions addressed include: (1) Is there documented evidence of involvement of the noradrenergic system in the pathogenesis of EDs? (2) Is there a documented theorical background for the development and testing of treatments for EDs acting on the noradrenergic system?This systematic review was performed in August 2021 by browsing the following databases: Medline (PubMed), Cochrane Library, Clinicaltrials.gov. Research was enhanced by searching the most relevant websites of guidelines and clearinghouses and in the most important etextbooks sites.The Preferred Reporting Items for Systematic Reviews and Meta-Analyses guidelines (PRISMA) flowchart was usedInclusion criteria: Date: published between January 2000 and July 2021. Population: humans or non-human mammals; Language: English; Study Design: RCT, cohort studies, cross-sectional studies, retrospective studies, case reports; Outcomes: reported.Exclusion: Population: other than humans or non-human mammals; Language: other than English; Study design: descriptive studies, reviews, protocols; Outcomes: unreported.Search string: ((noradren* OR norepinephrine[MH]) AND (eating disord* OR bulimia nervosa OR binge-eating disorder OR anorexia nervosa OR avoidant/restrictive food intake disorder)).A total of 341 original articles were identified with the initial search and checked by two independent investigators (J.P. and D.M.C.), and disagreements among reviewers were resolved through a mediator (M.L.). Thirty-five studies were included in the final analysis after 306 studies were excluded on the basis of exclusion/inclusion criteria. The flow chart of the study is reported in A detailed description of the selected articles is reported in Along with preclinical and clinical research unveiling the link between noradrenergic regulation and feeding behavior, a series of studies have investigated the role of noradrenergic dysregulation in the pathogenesis of EDs.The effect of the serotonin and noradrenaline reuptake inhibitor (SNRI) sibutramine, an anti-obesity treatment, was studied in 10 rats by Tallet and colleagues . The autBello and colleagues measuredIn a further study, the same group tried toRomano and colleagues assessedRecently, Hicks and colleagues examinedGenetic studies have documented possible contributions of polymorphisms in NE transporters in the pathogenesis of ED.Urwin and colleagues hypothesThese results were further examined by a second study from the same group . The autRelevantly, Hu and colleagues tried toIn addition to these studies, a series of authors have investigated the presence and modifications of noradrenaline and its metabolites in the plasma and urine. The most relevant metabolite of noradrenaline in primates is 3-methoxy-4-hydroxyphenylglycol (MHPG), and MHPG in brain tissue, cerebrospinal fluid, plasma, and urine reflects the turnover of noradrenaline .In a large study on the prevalence of migraine and the tyrosine metabolism in patients with EDs, D\u2019Andrea and colleagues measuredPlasma levels of NE, together with a series of other neurotransmitters and measures of autonomic system activity, were assessed in a group of patients with AN and HC by Lechin and colleagues . VariablThe same group investigThe activity of NE and the autonomic nervous system was also studied by Yoshida and colleagues . Nine paBrambilla and colleagues assessedIn a relevant study by Bartak and colleagues , an in vIn another microdialysis study on adipose tissue NE concentration, Nedvikova and colleagues investigDostalova and colleagues investigVaz-Leal and colleagues analyzedZheng and Yang administRigaud and colleagues investigNo brain imaging study meeting the criteria of this review was identified investigating the noradrenergic system in patients with ED.Relevant research has provided a theoretical framework for treating these patients with NE-based drugs. The studies of Kaye and colleagues have dirAs for the studies included in this systematic review, a series of pharmacologic treatments influencing the NE system have been found to have an effect of disrupted food regulation and symptoms of EDs. Thus, studying the mechanism of action of these drugs may contribute to understanding the role of NE in the pathogenesis of EDs.Milano and colleagues studied Venlafaxine, a SNRI acting as a weak NE reuptake inhibitor at low doses (75 mg/day) indicateDuloxetine, a SNRI indicated in the treatment of depressive and anxiety disorders, as well as chronic pain, has been investigated by a series of articles in the field of EDs; Bernardi and Pallanti reportedLeombruni and colleagues assessedGuerdjikova and colleagues investigSimilar evidence has been documented for milnacipran, a dual-acting antidepressant that blocks both serotonin and noradrenaline reuptake., in the treatment of 16 outpatients with BN by El-Giamal and colleagues , showingFurther data are available on the effects of reboxetine, a selective norepinephrine reuptake inhibitor (NRI), in the treatment of ED. A case report published by Willeit and colleagues documentIn the same year, El-Giamal and colleagues documentSimilarly, Fassino and colleagues conducteThe effect of reboxetine has been studied by Silveira and collaborators on the tRelevant data may be found in studies assessing the effect of dasotraline, a novel serotonin-norepinephrine-dopamine reuptake inhibitor (SNDRI), in the treatment of EDs.Mattingly and colleagues investigAtomoxetine, a highly selective norepinephrine reuptake inhibitor associated with weight loss, was studied in a randomized, double-blind, placebo-controlled, flexible dose trial, assessing reduction in binge frequency in 40 patients with BED. Compared with placebo, atomoxetine was associated with a greater reduction in binge frequency, BMI, and psychopathology, showing efficacy in the treatment of BED .Relevantly, desipramine, an antidepressant medication inhibiting the reuptake of noradrenaline and, to a lesser extent, serotonin, appears to reduce binge eating and improve comorbidities in short-term treatments ,74. The This systematic review assessed the role of the noradrenergic system in the pathogenesis and treatment of EDs. A total of 35 studies were included, of whom 5 were preclinical trials on rats, and 29 were clinical studies on humans.The human nutrition encompasses a complex series of biological, genetic, and cultural factors ,76. EDs Preclinical studies have agreed in documenting a significant role of the noradrenergic system in the pathogenesis of EDs under experimental conditions. Relevantly, binge eating has been found to activate the mPFC in stressed rats, an effect that could be reduced by alpha-2A adrenergic agonist guanfacine , while dGenetic studies included in this review have reported conflicting evidence. The research by Urwin and colleagues documented the hypothesis that receiving specific NET and MAOA variants and may increase the genetic risk to develop ANR ,42. NoneClinical studies assessing variations of NE in bodily fluids and tissues have produced conflicting evidence. Plasma NE has been found to be reduced at baseline in AN and BN in a series of studies, both as absolute levels and whenNo brain imaging (magnetic resonance or positron emission tomography) study was found investigating the noradrenergic system in patients with EDs. Since a series of studies on this field exist on the roles of dopamine, as documented by a recent systematic review , future A number of pharmacological studies have documented the effect of drugs influencing the noradrenergic transmission in the CNS on the management of different EDs. SNRIs represent the most frequently studied molecules, with specific research targeting the effects of sibutramine, venlafaxine, duloxetine and milnacipran. SNRIs have been documented to have a positive effect in reducing binge frequency and psychopathology in BED ,56,57,58Taken together, these results indicate that psychopharmacologic therapies modulating the noradrenergic activity, namely SNRI, NRI, and SNDRI, may serve as effective treatments for binge and purge frequency, weight alterations, and psychopathology for BN and BED. No recent data concerning the use of these drugs in patients with AN was found. Research in this field is urgently needed, since scientific evidence exists supporting only a few molecules in the treatment of AN ,80,81.This study has some limitations. A major point to be considered when assessing the biochemical dysregulation in psychiatric disorders is the difficulty to clearly determine whether the documented modifications represent a causal factor or consequence of the disease. This can be particularly challenging when considering the field of EDs, since malnutrition and the metabolic imbalance determined by the underlying disorder may potentially alter endocrine and neuropsychological systems in the body . S\u00f6derstAs a second limitation, although we aimed at defining the evidence of involvement of the noradrenergic system in the pathogenesis of EDs, different studies did not concern all clinical entities of EDs. Namely, genetic studies were related to ANR only, as well as no clinical study assessing body concentrations of NE was found. Relevantly, no study was identified concerning preclinical or clinical aspects of the relationship between the noradrenergic system and the avoidant/restrictive food intake disorder. Thus, a further thorough systematic review in this field should include new research assessing both preclinical and clinical variables in these less studied conditions.The present systematic review identified a series of key data on the relationship between the noradrenergic system and EDs. EDs represent a group of complex conditions with a multifactorial pathogenesis, and no specific review has systematically addressed the relationship between the noradrenergic system and EDs so far. According to our results, preclinical studies in rats demonstrated the involvement of the noradrenergic brain system in binge-like behaviors, with a key mediating role played by the activation of stress circuits. Genetic studies documented conflicting evidence in the possibility of a noradrenergic-mediated, genetically transmitted increased risk to develop AN. Clinical studies on body fluid concentrations reported non-unanimous evidence for the existence of absolute alterations in plasma NE values in patients with AN and BN. Pharmacological studies documented an efficacy of SNRIs, NRIs, and SNDRIs in the treatment of BN and BED. Still, insufficient evidence is available concerning the noradrenergic-mediate heritability of BED and BN, and psychopharmacological treatments targeting the noradrenergic system in AN. Further in vivo experimental studies and psychopharmacological randomized controlled trials are urgently needed to provide solid scientific evidence in the treatment of these expanding and increasing psychiatric and metabolic disorders."}
+{"text": "As a result, gene therapy treatments have been developed, and for some of the more prominent blood disorders these have reached the clinic and even market approval. Presently, the most advanced approaches are based on herapies ; 2021b, herapies . Permaneherapies . TherefoMutation-Specific Gene Editing for Blood Disorders covers an exceptional selection of contributions on mutation-specific gene editing in particular, and more generally on the development of associated concepts, protocols, technologies and corresponding regulatory and socio-economic conditions. The featured reviews and original articles offer expert perspectives on HSC-based therapies and particularly editing for hemoglobinopathies, on bone marrow failure syndromes and blood malignancies, on editing platforms, pathways and delivery methods, on targeted insertion of therapeutic transgenes and on the assessment of off-target activity of gene editing tools:To address these particular shortcomings of mutation-specific therapy and to enhance efficiency of treatments in general and thus to lower dosage requirements and risks to patients, therapy development for blood disorders needs novel strategies as much as it needs incremental improvements to existing protocols. In this respect, this Special Issue on Klaver-Flores et al. briefly cover HSC biology and gene editing platforms, before evaluating key areas of necessary improvement, the status quo of HSC engineering for therapy and the requirement for regulatory harmonization. In a different approach, Ferrari et al. comprehensively cover clinical development of homology-directed repair (HDR)-based editing for blood disorders, from editing platforms over HDR optimization, cyto-/genotoxicity and manufacturing protocols up to the post-treatment molecular follow-up. They also touch on the relationship of gene addition with conventional integrating vectors and the emerging gene editing therapies, and on the challenges of creating safe and efficient advanced therapies that are also financially sustainable. With further emphasis on clinical translation, Papanikolaou and Bosio review the current efforts and regulatory frameworks in the commercialization of advanced therapies, and provide an insightful perspective on the ongoing improvements to safety and efficacy, required for successful introduction of gene editing-based therapies.Several reviews give independent views on the state of the art and the path ahead for gene editing and therapies based on HSCs. In their perspective on the genetic engineering of HSCs, Zittersteijn et al. include mechanisms underlying globin expression, introductory to an up-to-date view on gene addition and on gene editing approaches and platforms for treatment of hemoglobinopathies. Insights into globin regulation are expanded by Mussolino and strouboulis, whose review places particular emphasis on regulatory complexes and therapeutic targets for epigenetic treatment of \u03b2-hemoglobinopathies. With focus on primary sequence editing for \u03b2-hemoglobinopathies, Barbarani et al. give an overview of editing strategies employed for treatment and point out the significance of reproducing naturally occurring therapeutic modifier mutations, of DNA double-strand break (DSB)-independent editing technologies, and of finding a suitable balance between efficiency and the level of precision required for editing. In this context, original research by Benitez et al. shows how modification of DNA repair factors and in particular their tethering to Cas9 can shift the balance between different DSB repair mechanisms, and thus editing outcomes, for the mutation causing sickle cell disease.Paradigmatic for application of editing to HSCs is the prolific and clinically most advanced field of gene editing for hemoglobinopathies. In their review covering both \u03b1- and \u03b2-hemoglobinopathies, Pavani and Amendola illustrate the extreme versatility of the TI approach, which is based on the insertion of promoterless transgenes behind endogenous promoters or on the insertion of promoter-driven transgenes in safe-harbor loci. TI enables a range of applications, including the deactivation of disease modifiers and the delivery of chimeric antigen receptors (CAR) in the production of CAR cells for adoptive immunotherapy.Controlling repair outcomes is critical for the safety and efficacy of localised sequence modifications, but also for the targeted insertion (TI) of therapeutic transgenes, which combines the safety of gene editing with key benefits of gene addition, including the ability to address multiple mutations with one and the same therapeutic tool. In their review, Antoniou et al.The alternative precision editing technologies of base and prime editors are then comprehensively assessed for their initial and latest developments, for their advantages and disadvantages and for their specific applications to blood disorders by Koyunlar and de Pater point out, these include inherited bone marrow failure syndromes caused by GATA2 mutations, of which 90% are found in the open reading frame and thus depend on precision edits, in the absence of a universal modifier as alternative target. Here, the consistent accumulation of additional oncogenic somatic mutations in other genes and the paucity of HSCs as the substrate for gene editing present particular challenges, representative of what holds true also for other blood disorders, such as Fanconi and Diamond Blackfan anemia. Importantly, many blood malignancies are based on and need to be addressed by changes in mesenchymal stromal cells (MSCs) instead of HSCs, as reviewed by Banjanin and Schneider, who in addition to the option of cross-correction of MSCs by modification of HSCs point out the specific challenges of in vivo and ex vivo editing and validation for MSCs.Taken together, research into shifting the balance of different DSB repair pathways towards precision edits and for TI, or into the employment of DSB-free precision editors has bearing on many diseases. As Simmons et al. demonstrates the utility of CRISPR/Cas9-based editing for the characterization of gene function and the development of Slc48a1-mutant mice as putative models for human SLC48A1-linked idiopathic iron disorders.For many of the rarest blood disorders, understanding of the underlying biology and availability of disease models are limiting. In this respect the original research article by ex vivo editing in HSCs by electroporation was in large part enabled by advances in synthetic CRISPR/Cas guide RNAs, as reviewed by Allen et al. Pointing out an editing technology alternative to protein and ribonucleoprotein-based editors, F\u00e9lix et al. address the concept and framework parameters of polypurine reverse Hoogsteen hairpin technology for editing, and its application to a selection of specific mutations causing different blood disorders. As an alternative to the delivery of naked editing molecules, virus-like nanoparticles conceptually enable ex vivo and in vivo application and make the exploration of editing, also using novel Cas9 flavors, accessible to any laboratory familiar with the production of viral vectors. Gutierrez-Guerrero et al. demonstrate in their primary research article efficient duplex-DSB-based excision and targeted insertion of an adeno-associated-virus\u2013encoded HDR donor into the Wiskott-Aldrich syndrome locus of T, B and CD34+ cells by delivery of CRISPR/Cas with virus-like Nanoblades.Vectors and delivery technologies are critical to the success of therapies based on gene editing, and the recent achievement of near-saturated Blattner et al., whose review comprehensively surveys biased and unbiased detection technology for off-target activities of different editing platforms, including the issue of translocation detection and remaining challenges, such as robust assays that can be applied in therapeutically relevant cells.For any editing application but even more so for the development of CAR and other technologies potentially drawing on multiple DSBs for editing, off-target activity of editing tools is of particular concern. This point is addressed by Driven by the rapid and ongoing development of gene editing tools, protocols and applications, editing technology is fast approaching such efficiency, accuracy and ubiquity, that clinically relevant mutation-specific applications for many diseases are within reach. We hope that the original research and authoritative reviews we had the privilege of putting together in this Special Issue will be a further step to making this exciting prospect a reality."}
+{"text": "The emergence of COVID-19 and social distancing requirements have resulted in disruptions to daily life, reduced opportunities for social engagement, and diminished resource access for millions of older adults. Individuals with cognitive impairments (CI) are particularly vulnerable to risk for social isolation. This presentation will discuss the PRISM-CI pilot trial, which aims to examine the feasibility and potential efficacy of the PRISM-CI software system on enhancing connectivity and quality of life among a diverse sample of 50 older adults aged 65 and over with a CI. PRISM-CI, adapted from the PRISM system (developed by the Center for Research and Education on Aging and Technology Enhancement) for this population, is intended to support social engagement, memory, and access to resources and information. We will present data regarding the feasibility and perceived value of PRISM-CI and discuss the challenges, and strategies used, to adapt the PRISM-CI trial during the pandemic. We used a multi-modal approach to provide remote training and specialized tablet instruction that includes individualized training sessions tailored to individuals\u2019 learning needs, hobbies, and prior technology use. The adapted protocol also involves the use of remote access software for troubleshooting. We will also discuss how participant feedback guided the inclusion of additional features, such as Zoom videoconferencing and virtual library access, for the PRISM-CI application. Finally, we will demonstrate how the adaptation of the PRISM-CI protocol holds promise for the use of flexible, remote technology approaches to reach socially isolated older adults to foster psychosocial well-being."}
+{"text": "Substandard and falsified (SF) medicines have important but neglected consequences including increased morbidity and mortality, economic losses, and diminished public confidence in health systems. SF antimicrobials, particularly those containing reduced quantities of active pharmaceutical ingredients (APIs), may also be key but overlooked drivers of antimicrobial resistance . SubstanAccording to a recent report from the World Health Organization (WHO), approximately 10% of medicines circulating in low- and middle-income countries (LMICs) are either substandard or falsified . The issThe Coronavirus Disease 2019 (COVID-19) pandemic has heightened the risk for SF medicines reaching patients by disrupting pharmaceutical production and supply chains, impeding regulatory inspection, and causing great economic hardship, making it difficult to afford genuine medicines. A surge of SF medical product cases has been reported, especially in settings with already vulnerable supply chains \u201310. In eMedicines Regulatory Authorities (MRAs) are the keystones for many of the interventions to prevent, detect, and respond to SF medicines. However, national MRA, international procurement agencies, and wholesaler/distributor medicine inspectors performing post-marketing surveillance (PMS) have to largely rely only on their own senses and knowledge to detect circulating SF medicines . SuspiciPLOS Neglected Tropical Diseases Collection, typically, inspection of medicines quality is conducted by medicine inspectors from the Bureau of Food and Drug Inspection (BFDI) within the Ministry of Health. Inspectors undertake routine inspection of pharmacies bi-annually, focusing on adherence to legislation and drug registration. Convenience sampling of certain medicines, especially antimalarials and antiretrovirals, is undertaken as part of specific vertical program projects supported by donors. In convenience sampling within a province, medicines are purchased from a selection of pharmacies in each district and brought back to a central location where they undergo initial screening using the Minilab of the implementation of the 6 devices tested in the field evaluation for PMS in Laos was conducted. The fifth article discusses the results presented in the series, highlights the evidence gaps, and provides recommendations on the key aspects to consider in the implementation of portable devices and their main advantages/limitations.The Collection is composed of 5 articles. This Editorial represents the first of these, introducing the background and rationale for the Collection. Twelve devices were first evaluated in a laboratory setting to provide information on their performances to identify SF medicines and to select the most field-suitable devices for further preliminary evaluation of their utility/usability by medicines inspectors with the devices in an office setting, allowing more scrutiny by the observers. The GPHF-Minilab was also tested by the chemists in the laboratory evaluation, and by FDQCC technicians, already trained in Minilab use, at their laboratory, in line with its current routine use in Laos.Using results of the above studies, the fourth article presents a CEA of implementing the 6 devices selected for the field phase experiments. Key criteria for each device such as cost per sample analysis, the sensitivity and specificity of each device, and experiment time were utilized to estimate the cost-effectiveness of using the devices under 2 scenarios of high and low prevalence of SF antimalarials in circulation. The results include a variety of device sampling strategies and multiway head-to-head comparisons.In the fifth article, these 4 components are synthesized and discussed, and recommendations are made. This is based on the discussion in a multi-stakeholders meeting held in April 2018 in Vientiane. The meeting included 53 participants from MRAs from 7 Asian and African countries and international health and funding organizations. Hands-on sessions with devices and group discussions about the promises and pitfalls of the devices were held during this 2-day meeting. The advantages/disadvantages, cost-effectiveness, and optimal use of medicine quality screening devices in the medicine supply chains were discussed. Based on the results from this multiphase study, we list policy recommendations for MRAs and other institutions who wish to implement screening technologies, as well as gaps of scientific knowledge to be filled.As far as we are aware, this multiphase study is the first collaborative independent investigation listing the advantages and disadvantages from diverse chemical, economical, and regulatory points of view. The overall study assesses and compares device accuracy, describes potential barriers, and evaluates the costs versus the benefits of the implementation of a wide diversity of portable medicine quality screening devices in a public health perspective. The series also highlights the difficulties and barriers to perform screening devices research and the important remaining gaps of scientific evidence."}
+{"text": "Cardioembolism is one of the most frequent causes of ischemic stroke, accounting for at least 20% of all ischemic strokes. Moreover, cardioembolic stroke entails higher severity and poorer outcome compared to other etiologies. Atrial fibrillation is the most frequent underlying disease, although several other cardiac disorders such as ventricular akinesia, valvular heart disease, acute myocardial infarction, endocarditis, monogenic diseases with cardiac involvement, or complicated interventional cardiac procedures can also be involved in the development of cardioembolic stroke. Direct oral anticoagulants have revolutionized stroke prevention in patients suffering from atrial fibrillation, however, more knowledge is needed regarding the long-term outcomes in patients treated with these drugs.In recent years, much attention has been paid to the search for hidden cardioembolic sources for ischemic stroke, and the \u201cembolic stroke of unknown source\u201d (ESUS) concept was raised to improve the detection of occult embolic diseases, mainly paroxysmal atrial fibrillation. However, the failure of direct oral anticoagulants in recent clinical trials with patients diagnosed with ESUS has raised concerns regarding the appropriateness of a low-intensity diagnostic workup and points to the return of the diagnostic concept of cryptogenic stroke. This highlights the need to increase the search for potential hidden etiologies through advanced diagnostic procedures.This Research Topic issue provides an up-to-date collection of manuscripts focused on the challenge of diagnosis and management of cardioembolic strokes.Pagola et al. highlighting the potential application of Point of Care UltraSound (POCUS) as a helpful screening method at the Stroke Unit. Furthermore, Arnold et al. provide a comprehensive review on the most promising biomarkers for the diagnosis of cardioembolic stroke, including blood-based, genomic, transcriptomic, metabolic, electrocardiographical, echocardiographical, and advance cardiac imaging biomarkers. They discuss the existing evidence for possible clinical applications in risk stratification and in accelerating etiological classification as well as optimal management, from a perspective of the forthcoming implementation of personalized medicine in stroke management.The role of echocardiography is reviewed by Viedma-Guiard et al. provides an excellent and up-to-date overview of the role of aortic sources of embolism in ischemic stroke, focusing on the diagnostic challenges and the current evidence for the optimal treatment in stroke prevention.The importance of atherosclerotic plaques in the aortic arch as a potential cause of embolic stroke has been underestimated in the majority of the etiological classifications of stroke, being relegated in most of them to stroke of undetermined origin, mainly because of a clear recommendation for its systematic search in the stroke patients has not been established. The narrative review by Wan et al. also provides new data on this atherosclerotic-lookalike clinical profile in a prospectively collected series of 119 acute ischemic stroke patients. To deepen the current controversy surrounding the ESUS concept, Fuentes et al. list several arguments against the use of the ESUS concept in clinical practice, advising stroke physicians to be smart in the search for underlying causes of ischemic stroke, optimizing advanced diagnostic procedures according to the patient's and stroke's characteristics, attempting to find the correct diagnosis for stroke patients and reducing rates of cryptogenic stroke diagnosis.Recently the ESUS concept has been called into question. This concept was proposed in 2014 by the Cryptogenic Stroke/ESUS International Working Group under the rationale of the common underlying thromboembolism mechanism in the group of patients with non-lacunar ischemic strokes in which the basic diagnostic approach did not found any undoubtable cause for the stroke. This concept included minor-risk or covert cardiac sources , paradoxical embolism and non-occlusive atherosclerotic plaques in the aortic arch, cervical or intracranial arteries showing a low frequency of bleeding complications, with no significant differences between anticoagulant drugs at long-term follow-up (of up to 3 years from a stroke). Besides, they provide new insights on the main reasons for switching oral anticoagulant drugs in clinical practice, being the majority of them due to stroke recurrences and labile INR. The other manuscript on stroke prevention is the protocol for LASER a randomized clinical trial and an associated registry of early anticoagulation with edoxaban after ischemic stroke in patients with atrial fibrillation. It is aimed at recruiting 150 patients with ischemic stroke and atrial fibrillation who will be randomized within 5 days of stroke onset to early or delayed edoxaban initiation .In the field of stroke prevention in cardioembolic strokes, this Research Topic issue includes two interesting manuscripts. The prospective multicentre RESTAIC Registry by Sarti et al. highlighting the relevance of atrial appendage morphology on patients with atrial fibrillation and resistant stroke despite adequate anticoagulant therapy.Finally, this issue also includes a case report by We would like to thank all the contributing authors for their manuscripts in this challenging time in which the COVID-19 pandemic has severely impacted stroke care and research, limiting the number of the expected manuscripts for this Research Topic issue. We hope that the pandemic will soon disappear, and we can refocus all our efforts on fighting stroke, one of the leading causes of death and the first cause of disability worldwide.All authors contributed by drafting the work or revising it critically for important intellectual content and all of them provided approval for publication of the content.BF: Advisory Board (Bayer); Spearker's honoraria ; Travel grants to attend scientific meetings , Participation in clinical trials . GN: Speaker fees/Advisory Boards/Research support from Amgen; Bayer; BMS/Pfizer; Boehringer-Ingelheim; Elpen; European Union; Galenica; Sanofi; Winmedica. JP: Research funding: Helsinki and Uusimaa Hospital District, Academy of Finland, Business Finland, St Jude Medical, Pfizer. Research collaboration: Nokia Technologies, Bittium, BcB Medical, Vital Signum; Speaker's honorary: Boehringer-Ingelheim, BMS-Pfizer, Bayer, Abbot; Advisory Board: BMS-Pfizer, Boehringer-Ingelheim, Bayer, MSD, Portola. Other: ESO guideline working group: Post-stroke hyperglycemia, secondary prevention in patients with AF. Finnish Duodecim guideline working group: ischemic stroke and TIA; Terve Media: Visiting editor."}
+{"text": "Amputation of the upper limb brings heavy burden to amputees, reduces their quality of life, and limits their performance in activities of daily life. The realization of natural control for prosthetic hands is crucial to improving the quality of life of amputees. Surface electromyography (sEMG) signal is one of the most widely used biological signals for the prediction of upper limb motor intention, which is an essential element of the control systems of prosthetic hands. The conversion of sEMG signals into effective control signals often requires a lot of computational power and complex process. Existing commercial prosthetic hands can only provide natural control for very few active degrees of freedom. Deep learning (DL) has performed surprisingly well in the development of intelligent systems in recent years. The significant improvement of hardware equipment and the continuous emergence of large data sets of sEMG have also boosted the DL research in sEMG signal processing. DL can effectively improve the accuracy of sEMG pattern recognition and reduce the influence of interference factors. This paper analyzes the applicability and efficiency of DL in sEMG-based gesture recognition and reviews the key techniques of DL-based sEMG pattern recognition for the prosthetic hand, including signal acquisition, signal preprocessing, feature extraction, classification of patterns, post-processing, and performance evaluation. Finally, the current challenges and future prospects in clinical application of these techniques are outlined and discussed. For human, the worth of hand is indisputable. The hand is the most diverse and dexterous part of the human body, which can execute various activities to interact with the environment by adopting a variety of different motion strategies and deep learning (DL). ML, which is the method based on feature engineering, could learn and perform tasks from the data input of automatic modeling. For conventional machine learning algorithms, there are limitations in processing raw data, because they could not effectively train on inconsistent, noisy, abstract, and high-dimensional data we comprehensively analyze the overall structure of DL in sEMG-based gesture recognition; (2) we comprehensively review the latest methods and technologies of sEMG based gesture recognition; (3) we raise the existing challenges and promising research prospects of sEMG based on motion intention recognition in prosthetic hand field.The approaches of gesture recognition model are very similar, but the method of each stage is different; in addition, not all studies use all stages of standard structure. Considering this, we propose a standard approach composed of six parts, which are data acquisition, data preprocessing, feature extraction, classification of patterns, post-processing, and performance evaluation. The sEMG signals are collected from sEMG sensors, which could adopt two different acquisition criteria, sparse multi-channel sEMG and high-density sEMG (HD-sEMG), in the density of the employed electrodes of view traditional manual feature extraction method is used to increase the data density of sparse multi-channel sEMG; (2) the raw sEMG signal is directly input into the network to realize end-to-end learning.For the traditional feature extraction methods, many researchers are devoted to propose new features based on professional knowledge , mean absolute values (MAV), integrated EMG (iEMG), histogram (HIST), root mean square (RMS), zero crossings (ZC), standard deviation (SD), slope sign change (SSC), Willison amplitude (WAMP), variance (VAR), V-order (V), simple square integral (SSI), and so on, which are often used in combination. The detailed information is shown in Frequency domain features: The FD features are calculated by Fourier transform of the autocorrelation function of sEMG signal and estimated by periodogram or parameter method. The common frequency domain characteristic of sEMG signal is frequency ratio (FR), total power (TP), mean power (MP), median frequency (MDF), mean frequency (MNF), power spectrum (PS), and so on. The detailed information is shown in Time-frequency domain features: The TFD features are expressed as locating the energy of sEMG signal both in time and frequency, which is usually an important approach in feature extraction. The typical representative of time-frequency analysis is wavelet transform is the mother wavelet, and \u03c4 is the translation parameter. ni is the length of the ith level decomposition coefficient ci ; \u03bc is the mean of ci , average power of the coefficient ci (APOCi), standard deviation of the coefficient ci (STDOCi), ratio between MOACi+1 and MOACi.where Parameter model: The basic principle of the parameter model is to regard it as a time series based on sequence information in the raw sEMG. Because sEMG signal is steady on short notice, the coefficients and intercept of the fourth-order autoregressive model are often selected as the characteristic values is the most extensive applications for DL architecture based on sEMG gesture recognition. Park and Lee proposedOne of the most important advantages of CNN is that it can automatically learn spatial features from input data or extract unlabeled features. However, the sEMG is the form of time series signal essentially, which is more suitable for recurrent neural network (RNN) that has dominant position in processing temporal or otherwise sequential information , whose goal is to recover the original data as lossless as possible from the abstract data; the other is probabilistic restricted Boltzmann machine (RBM) and its improved algorithm deep belief network (DBN), whose goal is to maximize the probability of the original data appearing when the RBM reaches a stable state. AE are data compression algorithm, which use efficient data encodings to map noisy input data into clean output Le, . VujakliApart from the above methods, there are many other DL methods applied to sEMG pattern recognition. Because of the simplicity of the structure, fully connected neural networks , skin conditions , what amputee can do after training (which is a reflection of behavior in life and working environment) (de Vet et al., This review paper briefly introduces the advances of DL-based sEMG pattern recognition techniques for the prosthetic hand in recent years. Through the literature survey of DL application in sEMG recognition, some of the core techniques are highlighted, some of the most common challenges to be solved are analyzed, and some of the most possible development prospects are discussed. It could be found that gesture recognition techniques based on DL has great potential in using sEMG signal to accurately interpret amputee's motion intention, which is of great significance to the development of intelligent prosthetic hand. However, their individual difference, real-time usability, and long-term stability are still being highly limited by many complex factors in these approaches. The high variability of sEMG, the lack of existing data, the limitation of hardware resources, and the lack of clinical evaluation conditions seriously affect the progress of pattern recognition techniques based on DL. In addition, the natural movements of the upper limbs are independent, continuous, and proportional activations of multiple DOFs, while the existing techniques can only use a limited number of patterns for discrete classification. These should be well-improved in the future real-time application of prosthetic hands.WL and PS wrote this paper. PS and HY suggested the methodology. PS supervised the entire project. All authors reviewed the manuscript, read and agreed to the published version of the manuscript.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "For organic Cu speciation, an improved anodic stripping voltammetry (ASV) method, employed to eliminate the surface-active substances (SAS) interference on the voltammetric signal, was used in samples containing high organic matter concentration. Fulvic acid was used as a model of natural organic matter and the method was applied for Cu speciation in samples collected in the Arno River estuary . The binding of Cd(II), Pb(II), and Zn(II) by silica nanoparticles was studied using a combination of the electroanalytical techniques Scanned Stripping ChronoPotentiometry (SSCP) and Absence of Gradients and Nernstian Equilibrium Stripping (AGNES). The experimental system was chosen as a representative model for the role of natural and anthropogenic nanoparticles in the fate and behavior of trace metals in aqueous environmental systems .Several examples of speciation of metal cations in aquatic environment are reported in this Research Topic. The speciation of trace metals aquatic systems includes the determination of free ions, metal complexes, colloidal species, etc., as well as the total dissolved concentration. The integrated assessment of free ions and labile metal complexes can be obtained by Diffusive Gradients in Thin-films (DGT), a dynamic speciation technique. The determination of the organic pools of trace metals in freshwaters and the characterization of organic and inorganic complexes in sea waters were obtained by this procedure (Berto and Alladio). The investigation of the interaction of phytate ligand with biologically relevant cations, namely Mg2+, Zn2+, Fe2+, Cu+, and Cu2+ revealed that alkaline earth metals interact with different binding sites than the transition metals. Experiments with Cu+, and Cu2+ confirmed similar complexing behaviors, depending mainly on the ionic radius .Speciation studies on the interaction of metal cations with ligands having multiple binding sites, such as tannic acid, a natural polyphenolic compound, and phytate ligand, are very important for the fate of those metals. In the study regarding tannic acid, the approach used combines UV-vis and fluorescence spectroscopy with chemometrics, namely Multivariate Curve Resolution-Alternating Least Squares (MCR-ALS) and Parallel Factor Analysis (PARAFAC) . The necessary degree of specificity in discriminating all the species of a given element in a sample can be attained by ultrahigh-resolution mass spectrometry based on the Fourier transformation, Orbitrap and Ion Cyclotron Resonance (ICR) cell. The case of the speciation analysis of the products of selenium metabolism by FT ICR MS was described . Metal speciation can be also performed by MALDI-MS and tandem mass spectrometry (MS-MS). The results obtained for Ca2+ interaction with biologically relevant ligands, as cysteine, D-penicillamine, reduced glutathione, and oxidized glutathione obtained by potentiometry and 1H-NMR spectroscopy were confirmed by MALDI-MS and MS-MS, elucidating also the mechanism of interaction .Metal speciation can be also performed by Electrospray Ionization Mass Spectrometry (ESI-MS). In this field, MS-MS approach guarantees exceptional sensitivity, as well as the use of high-resolution sectors, capable of well-resolving isotopic clusters. A further development is the merging of ESI-MS information with data obtained Migliore et al.).Speciation studies also include the search for novel drug delivery systems able to improve the performance of old-generation antibiotics. For example, the capability of two micellar polycationic calix[4]arene derivatives to recognize and host ofloxacin, chloramphenicol, or tetracycline in aqueous solution was investigated by nano-isothermal titration calorimetry, dynamic light scattering, and mono- and bi-dimensional NMR. Results evidenced that the formation of the chloramphenicol\u2013micelle adduct is enthalpy driven, whereas entropy drives the formation of the adducts with both ofloxacin and tetracycline. NMR spectra confirmed ITC data about the positioning of the antibiotics in the calixarene nanoaggregates . Different methodologies are employed for soil remediation. Among them, the use of chelating agents is one of the most promising method for removal of metal ions preserving the most meaningful properties of the original soils. One of these methodologies, the Nurchi's method, an extension of the Reilley procedure for EDTA titrations, is based on speciation studies, namely on the knowledge of the related protonation and complex formation constants. Its employment in biomedical and industrial applications is also discussed, namely in the evaluation of the role of different biomolecules such as bacterial metallophores, in metal uptake and homeostasis in living organism .Speciation studies are also very useful for the development of techniques for the decontamination of natural waters and soils containing toxic metals. In recent years, many efforts have been made to discover new technologies that are effective, robust, cost-effective and easy to handle for the decontamination of downstream water without endangering human health. Among nanomaterials and nanostructures proposed in the remediation field, graphene-based materials (G), are particularly suitable for the development of reliable water decontamination treatments, in particular for arsenic remediation . Ultra-trace urea in synthetic and real milk samples was determined by sensitive and selective methods using Fe/N-codoped carbon dots (CDFeN) and a probe with surface-enhanced Raman scattering (SERS), resonance Rayleigh scattering (RRS), and fluorescence (FL) signals . Novel methods for the monitoring of microcystins (MCs), one of the most common and harmful cyanotoxins, involve the use of aptasensors (aptamer-based biosensors) and immunosensors (antibody-based biosensors) for rapid, portable, easy-to-use, and on-site determinations . Early diagnosis of diabetes on entire blood samples was performed via near-infrared spectra (NIRS) combined with a support vector machine (SVM) and aquaphotomics .Determination of organic analytes such as urea or biotoxins in environmental and food samples using novel, advanced and combined analytical techniques was also performed. More in detail, the determination of saxitoxin in seawater samples was made by a novel flow injection microfluidic immunoassay system which allows Risoluti et al.).Quality of milk was assessed by an innovative MicroNIR and chemometric platform for the on-site and contactless monitoring of the samples (via indirect proxies) those specific chemical species in waters, soil solutions, biological fluids and food products, that provide the most relevant information in human health and environmental safety research. Altogether, these studies point to the wide possibilities underlying the combined use of active/passive sampling strategies, fractionation methods, orthogonal or hyphenated techniques and advanced multivariate analysis for the improvement of the accuracy and specificity of speciation data obtained in complex matrices.This Research Topic emphasizes the recent methodological improvements made in quantifying and identifying (either explicitly or All authors wrote the Editorial and reviewed it.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "DDD698, and American Association of State Highways Transport Officials (AASHTO). Slight modifications to the measurement procedures (such as the use of different surcharge loading and custom-made consolidation rings) reflecting special laboratory testing conditions and for the purposes of comparisons, are also reported.Most of the damaging geo-hazards recorded in modern history are caused by soil swelling or expansion. Therefore, proper evaluation of a soil's capacity to swell is very crucial for the achievement of a secure and safe ground for civil infrastructures and related land developments which are founded on the soil. In order to simulate as well as estimate the heave that can occur under field conditions, laboratory one-dimensional oedometer vertical swell-strain testing are most frequently used. Hence, in this brief, one-dimensional swelling tests adopted to measure soil swelling on laboratory-engineered and natural soils covering various regions on the globe are reported. The testing standards and procedures followed in the measurement of one-dimensional swelling are those enumerated in the American Standards for Testing of Materials (ASTM) DDD698, Turkish Standards (TS), American Association of State Highways Transport Officials (AASHTO)and a combination of both standard and modified efforts. A total of 395 data samples on soil swelling potential are reported. With regards to the corresponding soil properties, a total of 219 data records of soil specific gravity, 321 data records of initial moisture content, 163 data records of void ratio, 273 data records of dry unit weight, 347 data records of liquid limit, 347 data records of plastic limit, 395 data records of plasticity index, 209 data records of activity index, 339 data records of clay content, 174 data records of silt content, 246 data records of optimum moisture content, 228 data records of maximum dry density and 347 data records of Unified Soil Classification System (USCS) are presented. Finally, the dataset of one-dimensional soil swelling described herein are intended to aid geotechnical engineers and researchers who are involved in statistical correlation studies, data analytics, and machine learning predictions using soft computing methods mostly aimed at evaluating soil expansion especially during the preliminary phases of soil investigation and foundation design.Corresponding soil properties characterising the dataset includes moisture content, void ratio, specific gravity, unit weight, liquid limit, plastic limit, plasticity index, clay content, silt content, maximum dry unit weight, optimum moisture content, and soil activity index, all of which are known to bear either direct or indirect influences on soil. Determination of the state of compaction of the soils where applicable, are carried out based on the American Standards for Testing of Materials (ASTM) This dataset references studies spanning over 5 decades leading back to the period when important discourse on soil swelling-related disasters were first considered. The dataset consists of both naturally occurring (disturbed and undisturbed soils) and a mix of laboratory-engineered-soils. Based on the nature and format of reporting from the different sources, the soils are divided into groups with each having properties collated from the same experimental methods. The dataset for each group are saved in individual tabs within the .xlsx file with the tab names (notations) corresponding to the descriptions on 2Rigorous systematic literature studies were conducted to obtain the dataset. The literature search included data spanning across research articles and reports with experimental investigations conducted on various soil samples. The methodology of data collection involved thorough screening of articles\u2019 titles, keywords and abstracts that met the criteria of one-dimensional swelling for both compacted and non-compacted soils. Most of the collected data were derived from article tables and where data were only presented on graphs, WebPlotDigitizer Relevant data of soil properties not included in the original data such as the Plasticity Index (OrIn areas where soil Activity index, (To allow for an easy and extensive assessment and analysis of the degree of swelling of the different soils and their properties obtained from various sources, entries into each column of the dataset should be manually synchronised to account for missing data through the removal of such affected rows.The authors declare that the present work did not include experiments on human subjects and/or animals.This research did not receive any specific grant from funding agencies in the public, commercial, or not-for-profit sectors.Eyo E. U: Conceptualization, Methodology, Software, Data curation, Writing \u2013 original draft. Uche Onyekpe: Visualization, Investigation, Writing \u2013 review & editing.The authors declare that they have no known competing financial interests or personal relationships that could have appeared to influence the work reported in this paper."}
+{"text": "Dear EditorThe new corona disease COVID-19) is very contagious and features a high risk of vast outbreak and infection. The World Health Organization (WHO) declared a global public health emergency condition on 30 January 2020 and a universal epidemic afterwards by given its rapid epidemic worldwide empowerment of economic, cultural, and political infrastructures as well as national and local policies, 2) entry of non-governmental and impartial organizations like Red Cross and Red Crescent into the exchange of healthcare and treatment equipment to the countries inflicted with sanctions, 3) decisive entry by the UN into the arena of the dismissal of all sanctions, 4) convergence of the neighboring and regional countries to respond the COVID-19 and overcome the sanctions, 5) concentration on healthcare and empowerment of domestic economy, 6) corroboration of the foreign policy to get prepared for post-COVID-19, 7) complete enforcement of the international agreements and conventions, including Joint Comprehensive Plan of Action (JCOPA), 8) arrangement of moderated political relations between Iran and the US by the UN, 9) the experiences transfer on the fight against sanctions by the allied countries, 10) the third intermediation and impartial countries to remove sanctions such as Switzerland, 11) the sanctions threats transformation to proper opportunities by politicians, 12) change in the power of pharmaceutical and healthcare-related productions by European and American countries, China, and India, 13) exercising realism on display of the sanctions effects and concentration on the local and national interventions in Iran, and 14) institutionalization of the national beliefs in the countries\u2019 self-reliance.National and international collaborations for preventing and controlling COVID-19 are very important by considering the daily increasing spread of the COVID-19 pandemic around the globe. Nevertheless, sanctions have exerted a considerable effect on COVID-19 control through weakening the economic resources and creating disruption in the process of drug and equipment transfer. However, national efforts play more considerable and vital role in COVID-19 management. Hence, healthcare policymakers and decision-makers in Iran and other countries afflicted with sanctions should elevate their national empowerment, make firm decisions, corroborate and concentrate on research and development as well as health-oriented and pharmaceutical industries, engage in acculturalization to take steps towards controlling and managing COVID-19, and become the new global players with the maximum influence in the area of COVID-19 management."}
+{"text": "Powder bed fusion of thermoplastic polymers is a powder based additive manufacturing process that allows for manufacturing individualized components with high geometric freedom. Despite achieving higher mechanical properties compared to other additive manufacturing processes, statistical variations in part properties and the occurrence of defects cannot be avoided systematically. In this paper, a novel method for the inline assessment of part porosity is proposed in order to detect and to compensate for inherent limitations in the reproducibility of manufactured parts. The proposed approach is based on monitoring the parameter-specific decay of the optical melt pool radiance during the melting process, influenced by a time dependency of optical scattering within the melt pool. The underlying methodology compromises the regression of the time-dependent optical melt pool properties, assessed in visible light using conventional camera technology, and the resulting part properties by means of artificial neural networks. By applying deep residual neural networks for correlating time-resolved optical process properties and the corresponding part porosity, an inline assessment of the spatially resolved part porosity can be achieved. The authors demonstrate the suitability of the proposed approach for the inline porosity assessment of varying part geometries, processing parameters, and material aging states, using Polyamide 12. Consequently, the approach represents a methodological foundation for novel monitoring solutions, the enhanced understanding of parameter\u2013material interactions and the inline-development of novel material systems in powder bed fusion of polymers. Laser-based powder bed fusion of polymers (PBF-LB/P) is a powder-based additive manufacturing process of polymer components that is subject to a variety of process influences. These include exposure parameters , varyingLaser-based powder bed fusion of polymers is characterized by the iterative execution of the three consecutive process steps powder coating, laser-based exposure, and the subsequent consolidation of the molten polymer . ResultiIn order to enhance the understanding of underlying physical mechanisms and to enable the monitoring of the powder bed fusion process, several approaches have been proposed. Thermographic approaches for monitoring PBF have been demonstrated for use in metal-based PBF ,18,19 anSummarizing existing monitoring approaches, monitoring of PBF-LB/P predominantly focuses on the thermographic and optical investigation of the energy input. Although the consolidation step, characterized by the viscous flow of the material ,27, accoThe application of machine learning for modeling complex dependencies in powder bed fusion, specifically of polymers, has been adopted in various applications . ApplicaZhang et al. (2019) proposedThe use of artificial neural networks as a specific machine learning method has been proven especially useful for modeling complex dependencies when given sparse, high-dimensional datasets ,43. DeepTo date, the inline monitoring of the powder bed fusion of polymers is limited to the image-based detection and classification of defects. The presented approach aims to overcome the limitations of existing concepts by correlating optical data, derived by means of inline monitoring, and resulting part properties. The technological basis compromises the combination of time-resolved optical inline process monitoring and subsequent data processing using deep residual neural networks. The applied neural network is designed to model a regression of optical melt pool properties and the resulting, spatially resolved part porosity. The porosity of manufactured parts significantly influences the resulting part quality, as it directly affects resulting mechanical properties and is, Image post-processing of raw data, displayed in n, the contours of distinct cross-sections are detected using the Canny edge detector algorithm , In spite of the high variance of experimentally obtained porosity values in the validation step, the satisfactory modeling of structural defects can be demonstrated. Furthermore, morphologies that are described specifically for thin-walled samples can be mThe explanation of the underlying mechanisms of neural-network-based modeling is significant to assess the reliability of the underlying regression . Given tThe application of SHAP on exemplary datasets indicates the mutual dependence of the optical input values and the resulting contribution on the obtained porosity value. Displayed in Considering the applied process layout, increased energy density values are correlated with reduced part-specific layer times. Therefore, the divergent mechanisms determining the part-specific porosity values are expected to not exclusively rely on divergent processing parameters. However, depending on the applied process parameters, structural deviations in the contribution of distinct time steps on the resulting part property, derived by the neural network, are observed. The parameter-dependent contribution of distinct time steps on the resulting porosity value indicates the implicit distinction of divergent process states. The recognition of specific process states is considered essential for enabling the previously demonstrated ability of the network to model varying part-specific porosity values, influenced by variations of process parameters and material aging states. Consequently, underlying mechanisms for the in situ prediction of part-specific porosity values compromise the implicit recognition of superposed process influences.A novel approach for quantifying part porosity in the powder bed fusion of polymers based on optical data, assessed in situ, could be demonstrated within the present paper. The presented approach applies a deep residual neural network that allows for the process-integrated porosity analysis of PBF-LB/P based on the analysis of time series. Temporal changes in optical properties of exposed powder bed sections, representing the input data for the monitoring approach, are characterized by a quasi-monotonous, temporal decay of the radiance of the melt pool, correlated with a time dependency of the occurrence of scattering centers within the melt pool. Varying processing parameters lead to a variation of the time-resolved anisotropic radiance of the melt pool, representing the physical foundation of the subsequent regression, hence allowing for the determination of component properties both on component-specific and mesoscopic scales. The successful inline modeling of the part porosity could be demonstrated for the application of divergent processing parameters, part geometries, and the use of aged Polyamide 12 powder. By determining the influence of distinct optical input values on the corresponding porosity value, the predominant influence of the whole consolidation phase on the derived value was identified. Furthermore, the observed parameter-dependency of the numerical contribution of distinct time steps indicates the implicit distinction of process states, such as insufficient and excessive energy input into the melt. Future work will include enhancing the prediction accuracy and the robustness towards divergent geometries, materials, and processing parameters by enlarging the training dataset. Furthermore, the application of the demonstrated regression network in the real-time process monitoring and the automated, material-specific identification of optimized process parameters embeds relevance for future industrial applications. Considering the possibility of assessing the time-resolved evolution of part properties by determining the resulting part properties at distinct time steps, the proposed approach embeds a novel concept for enhancing the understanding of the consolidation step.Consequently, the presented deep learning-based approach represents the foundation for various applications, including the enhanced understanding of parameter interactions and the vastly accelerated development of novel materials in polymer-based powder bed fusion by means of in-process optimization of process parameters."}
+{"text": "Despite decades of professional, academic, and policy interest in person-centered long-term care (LTC), the field continues to be challenged by the absence of a comprehensive depiction of the concept and a lack of consistency reflected across studies and measures. In response, a participatory action, research-focused, partnership between an institution of higher education and an LTC community (the University of Maine Center on Aging and The Cedars), with funding from The Mayer-Rothschild Foundation, is identifying and mapping the landscape of person-centered LTC in nursing homes and assisted living communities. A collaborative, ongoing, exploratory scoping literature review and evidence mapping has compiled a database of 663 academic and 115 grey literature articles through 65 systematic searches reviewing over 4,296 articles. An iterative process from both the resident and organizational perspectives revealed nine core domains and two substantive research gaps . For mapping purposes, domain content was analyzed categorically based on concept, information revealed about resident, family, and staff experience, and operations applicability. The identified person-centered LTC domains, categorical analysis, identified gaps, and visual representation via mapping will contribute to generating research ideas, supporting the development of effective operationalization for LTC settings, and contributing to an understanding of the theoretical scope and concrete elements of a person-centered care model that aims to improve the wellbeing and quality of life of older adults in long-term residential settings."}
+{"text": "Western Journal of Emergency Medicine, co-sponsored by the Council of Emergency Medicine Residency Directors (CORD) and the Clerkship Directors in Emergency Medicine (CDEM), serves as a snapshot of the current state of emergency medicine (EM) education research and focuses on relevant topics published by a diverse group of education scholars. Our field has seen marked increases in scholarship, publication venues, funding, and training opportunities for EM education research over the past decade.This special issue of the"}
+{"text": "The number of older adults who live in long-term care (LTC) is expected to increase worldwide. The COVID-19 pandemic has caused serious consequences in Canadian LTC homes, while homes in China and Japan reported minimal infection and death rates in residents. The differences in LTC policies may be one of the contributors. The purpose of this literature review was to identify elements of the LTC policies that might have impacted COVID-19 outcomes in LTC homes in Canada, China, and Japan. A scoping review was conducted following the framework proposed by Arksey and O\u2019Malley. Scholarly articles and grey literature published between January 2015 and June 2020 were identified in six databases, four in English , one in Chinese (CNKI), and one in Japanese (CiNii), using MeSH terms for LTC and health policy. Grey literature was identified using Google. Data were extracted, summarized and common themes identified through content analysis. A total of 52 articles and 26 grey sources were included in the review based on determined inclusion criteria. They were research articles, reviews, government or association reports, policy briefs, policy documents, and guides. Four common themes of challenges emerged: caregiver workforce, service provision, funding, and physical environments. Three sub-themes were identified for caregiver workforce and service provision. Differences in COVID-19 consequences in LTC homes in the three countries seem to be related mainly to the challenges with the caregiver workforce and the lack of funding. The result suggests Improvements of LTC policies are required, especially in Canada."}
+{"text": "Despite the increasing burden of mental disorders, a lot of people worldwide suffer a gap in receiving necessary care in these countries. To close this gap, the WHO has developed mhGAP training modules aimed at scaling up mental health and substance use disorders services, especially in low- and middle-income countries. This article presents the experience of implementing the Mental Health Gap Action Programme (mhGAP) in Ukraine, Armenia, Georgia, and Kyrgyz Republic. Data were gathered from an electronic questionnaire administered to representatives from higher educational institutions where the Mental Health Gap Action Programme Intervention Guide (mhGAP-IG) was implemented in existing curricula for medical students, interns, and residents in family medicine and neurology, practicing physicians, and master\u2019s program in mental health students. More than 700 students went through the programs that provided the feedback. Evaluations of program effectiveness mainly involved standard discipline tests or pre- and post-tests proposed in the mhGAP trainer manual. This finding suggested that mhGAP-IG can be successfully adapted and implemented both on undergraduate and on postgraduate education levels and among medical and nonmedical specialists. Future evaluations need to more definitively assess the clinical effectiveness of mhGAP-IG implementation. Mental and behavioral disorders are highly prevalent across the globe. The World Health Organization (WHO) states that one in four people could have a mental health disorder during their lifetime . In 2016While mental and behavior disorders increase risk for noncommunicable diseases, and injuries ,7, indivUkraine, Armenia, Georgia, and Kyrgyz Republic are former Soviet republics, which have walked down different pathways after gaining independence in 1991.Ukraine is located in Eastern Europe and is the second largest country in the European region. It has a population of 42.0 million . After gGeorgia is a country in the Caucasus region located at the crossroads of Western Asia and Eastern Europe. The population of Georgia is 3.7 million . Since iArmenia is located in the Western Asia, South Caucasus region. The population of Armenia is 2.9 million . The iniThe Kyrgyz Republic is a lower-middle-income country of 6.5 million people in Central Asia. Since independence in 1991, the country has experienced instability, with political and social upheavals in 2005 and 2010 .Additional information on the countries can be found in Development of mental health systems in the Eastern Europe and the Asian region is characterized by gradual decentralization, with often disproportionately slow growth of community services . In manyThe estimated prevalence and burden of mental health and substance use disorders in Ukraine, Georgia, Armenia, and Kyrgyz Republic are shown in Mental health gaps remain high in the region ,4. The rIncorporation of mental health into specialized and primary care services could be a possible solution to existing challenges and could reduce the burden associated with mental disorders ,29,30,31In order to scale up mental health and substance use disorders services, WHO, in 2008, launched the Mental Health Gap Action Programme (mhGAP). To assist in implementation of mhGAP, WHO developed the Mental Health Gap Action Programme Intervention Guide (mhGAP-IG), which provides evidence-based guidelines, tools, and clinical decision-making protocols for integrated management of priority conditions. The mhGAP-IG has been developed for use by healthcare providers working in nonspecialized healthcare settings, with adaptation to meet national and local needs ,34.According to a recent systematic review by Keynejad and colleagues, the mhGAP-IG was successfully used by clinicians, government ministries, trainers, educators, and academics in a range of LMICs . Forms aThere were several initiatives in Ukraine to implement the mhGAP program. In 2017, at the request of the Ministry of Health of Ukraine, WHO supported the launch of capacity-building activities for the mhGAP Humanitarian Intervention Guide in Eastern Ukraine. In 2019, it expanded the program and trained primary healthcare workers on Version 2.0 of the mhGAP Intervention Guide in the Donetsk region . HoweverAt the same time, ongoing and sustainable development of a mental health workforce should include strengthening of institutional capacity to implement training programs effectively . One of Ukraine, Armenia, Georgia, and Kyrgyz Republic work together towards strengthening mental health education within the framework of the Ukraine-Norway-Armenia (UNA) Partnership. The UNA Partnership initially included higher education institutions (HEIs) from Ukraine, Norway, and Armenia. Later, UNA Partnership activities were joined by Tbilisi State Medical University (Georgia) and Kyrgyz-Russian Slavic University (Kyrgyz Republic). Among other initiatives, the UNA Partnership focused on mhGAP-IG implementation in selected HEIs.The initiative of WHO mhGAP-IG implementation in pre-service training was discussed and developed during three consultative meetings in 2018, which took place concurrently with the 23rd World Congress of the International Association for Child and Adolescent Psychiatry and Allied Professions, the 18th WPA World Congress of Psychiatry, and the 2018 mhGAP Forum held at WHO\u2019s headquarters in Geneva, Switzerland.Later in 2018, in Kyiv, Ukraine, a three-day introductory mhGAP course brought together decision makers and clinical educators from postgraduate and undergraduate teaching institutions to discuss how mhGAP-IG can be used to strengthen pre-service training and to provide training on mhGAP-IG, with special emphasis on the module on child and adolescent mental and behavioral disorders. There were 20 faculty members from medical universities in Ukraine, Georgia, Armenia, and Kyrgyz Republic. Each University went through a preparation and adaptation phase, when specific modules and required number of hours were decided based on the existing curriculum and needs .This article provides a one-year follow-up on the implementation of mhGAP-IG in educational settings in Ukraine, Armenia, Georgia, and Kyrgyz Republic after initial assessment .The aim of this study was to collect one-year follow-up data on implementation of mhGAP-IG in education settings in Ukraine, Armenia, Georgia, and Kyrgyz Republic. The objectives were to collect information about curriculum changes of existing courses, development of new ones, teaching processes, and number of students one year after mhGAP-IG implementation; to collect information about evaluation methods used to assess effectiveness of mhGAP-IG implementation in education settings, and to gather recommendations from faculty members who have implemented the mhGAP-IG. We believe that information on the practical realities of implementing standardized training modules in different world regions is essential in optimally planning how to prepare the diverse global workforce of healthcare providers who have the potential to address a critically important healthcare need.A cross-sectional descriptive study was conducted from October 2019 to February 2020. Data were gathered from an electronic questionnaire.Participants were at HEIs in Ukraine , Armenia , Georgia , and Kyrgyz Republic .For the purpose of the study, a self-administered electronic questionnaire was developed. The questionnaire consisted of 20 questions, both open- and closed-ended, divided into four sections: (a) background ; (b) current use of mhGAP-IG in education settings ; (c) evaluation of effectiveness of mhGAP-IG implementation in education settings ; (d) recommendations .Descriptive data are presented as case examples and in tabulated form.Implicit consent was provided when respondents completed the questionnaire.Cumulative results are presented in Background: The official WHO Ukrainian translation of mhGAP-IG has been available since 2019. Kyiv Medical University implemented the mhGAP-IG-enhanced curriculum in September 2019. The existing training curriculum on Psychiatry and Narcology for 4th-year medical students was revised in several steps to implement mhGAP-IG. The mhGAP-IG was presented to the staff of the department of Neurology, Psychiatry and Physical Rehabilitation of Kyiv Medical University, and possible changes in the curriculum were discussed. Necessary changes have been introduced, and the updated curriculum on Psychiatry and Narcology was approved by the Scientific Council in June 2019 and signed by vice-rector of the Kyiv Medical University in August 2019. Additionally, in 2019, following the example of undergraduate curriculum, the curriculum for Neurology residents was updated using mhGAP-IG.The following modules were selected: dementia, epilepsy, substance use disorders, and child and adolescent mental and behavioral disorders. The introduction of the mhGAP-IG allowed reduction of didactic sessions while maintaining the same number of hours spent on interactive practical sessions and emphasizing self-study of mhGAP-IG online materials . The resThe mhGAP-IG has been received very well by the students, clinical instructors, and clinical administrators. Identified benefits include improved trainee knowledge about mental disorders.The program was evaluated based on students\u2019 and residents\u2019 performance , which showed improved knowledge, compared to in the standard curriculum, about mental disorders. Additionally, faculty members discussed their perceptions on the updated program at Scientific Council and expressed positive attitudes towards the mhGAP-IG.The students and residents were given the survey to assess their level of involvement and feedback about strengths and weaknesses of the modules of mhGAP-IG implemented in the program. In their feedback, both students and residents reported acquisition of better knowledge and skills to identify and manage mental disorders. On the other hand, teachers using different assessment measures found improvement of the students results on the topics after implementation of the mhGAP-IG modules concerning their ability to recognize the symptoms, to put the correct diagnosis, and to provide appropriate treatment of mental diseases.The implementation of mhGAP-IG was effective at both undergraduate and postgraduate levels of medical education. Well-structured information and visual materials have been identified as the main advantages of the mhGAP-IG training and implementation process. The program was evaluated based on students\u2019 and residents\u2019 performance and feedback surveys.The working group of the department initiated the translation of the textbook into Armenian. Staff members of Yerevan State Medical University, Department of Medical Psychology, developed and implemented programs for both undergraduate and postgraduate training levels. Adaptation of the mhGAP-IG-based curriculum took approximately 1 month.The pre-service curriculum for the second-year undergraduate students was updated with mhGAP and included eight academic hours for child and adolescent mental and behavioral disorders (with emphasis on attention deficit and hyperactivity disorder), depression, and suicide. Two modules of a continuing medical education (CME) for senior and mid-level medical professionals have also been developed as two-week, 60-h courses entitled \u201cMental Health of Children and Adolescents\u201d and \u201cMental Health of Primary Care for Children and Adolescents.\u201d The programs were attended by 11 pediatricians and 30 specialists from 11 orphanages and social services centers for the elderly and disabled. Additionally, a CME course on psychological aspects of palliative care was adapted using mhGAP-IG and attended by 27 oncologists. Additionally, it is planned to develop a CME course in conjunction with the Yerevan State Medical University Department of Family Medicine for doctors and nurses in the primary care setting. Three topics from mhGAP were also included in the curriculum of Psychology courses at American University of Armenia. Furthermore, several mhGAP topics were included as part of the training curriculum of military psychologists from the Ministry of Defense of the Republic of Armenia.The program was evaluated based on students\u2019 and trainees\u2019 performance (tests). Additionally, feedback questionnaires for 2-year students were used and showed that more than 85% of trainees found the course to be very useful .The program was evaluated based on students\u2019 and residents\u2019 performance and feedback surveys. Feedback from participants showed that mhGAP-IG pretraining can be successfully implemented in various conditions with different students (doctors and nurses) and can be adapted to meet the unique needs of each institution. It can be assumed that the introduction of mhGAP-IG techniques and approaches is possible and acceptable, with adequate preparation and under certain conditions.In 2018, Georgia joined the UNA (Ukraine\u2013Norway\u2013Armenia) partnership project. mhGAP-IG has been translated into the Georgian language and included into the pre-services curriculum and accredited CME courses for medical doctors of different specialties. The initial adaptation into the pre-service curriculum took around 1 week.The mhGAP-IG has been integrated into the medical student curriculum at Tbilisi State Medical University and into the Medical Academy curriculum for fourth- and fifth-year students. Accredited CME courses for primary healthcare professionals have been prepared. The mhGAP-IG has been integrated into the psychiatry clerkship and psychiatry internship syllabus. The chapters on psychoses, depression, dementia, self-harm/suicide, and child and adolescent mental and behavioral disorders were added to the curriculum of the mental health master\u2019s program at Ilia State University. In general, the learning process using the WHO mhGAP-IG was highly interactive. All students had the opportunity to actively participate in the discussion and role play process, which they liked very much.For knowledge assessment, the questionnaires from the mhGAP module for psychoses and child and adolescent mental health were used only as post-tests. The comparison of pre- and post-tests was not conducted. The average score on post-test was 82%. After each semester, the university usually assesses the satisfaction of students with the course. This year, the highest marks were received, even though only online classes were provided. Students stated that the WHO mhGAP-IG is a well-structured tool with practical mhGAP-IG supplementary materials that helped them to understand and realize the difficulties and consequences of mental health problems. The personal stories gave them clear messages regarding patients\u2019 and families\u2019 challenging experiences. The video instructions were very helpful in terms of learning interviewing skills, which the students could practice with the role-playing exercises. At the same time, students pointed out that they lacked sessions with real patients.mhGAP-IG was successfully incorporated on different levels of education, including in specialized mental health courses. Well-developed manuals and supporting materials make mhGAP-IG easy to implement. Support from the university leadership is necessary during the implementation process. The program was evaluated based on students\u2019 and residents\u2019 performance and feedback surveys.The mhGAP guideline was translated into the Kyrgyz language. A seminar on adaptation and implementation of mhGAP was conducted. Order No. 749 of the Ministry of Health of the Kyrgyz Republic of 7 July 2019 was signed, approving the usage of mhGAP in the training of medical personnel in universities of the country at the graduate and postgraduate levels. At the first stage, 20 trainers were trained to further teach the mhGAP program. Then, in the capital of the republic, a pilot mhGAP training was conducted, in which 15 general practitioners, 10 psychologists, and 15 nurses providing outpatient mental healthcare from 10 pilot regions participated. The training was evaluated and recommended for implementation in education settings. With support from the Ministry of Health, mhGAP was implemented in the educational sector at the graduate and postgraguate levels.Before the approval of the program by the Government of the Kyrgyz Republic for the protection of mental health of the population for 2018\u20132030 and the introduction of mhGAP in the country at the undergraduate and postgraduate levels, training in the subject of psychiatry only involved study of the following: the main criteria of the ICD-10; the main psychopathological symptoms such as disturbances in perception, thinking, emotions, motor function, and consciousness; psychopharmacology. After Government approval of and implementation of the mhGAP, the emphasis in teaching psychiatry shifted to practical management of the patient and provision of comprehensive care, including psychoeducation, stress management, and psychosocial care. In the final exam for medical students, questions related to mental health or to the study of behavioral sciences are almost not included. This absence creates a steady depreciation of psychiatric or psycho-educational skills among medical students. In Kyrgyzstan there is no system to reward general practitioners for identifying and treating patients with mental disorders. Recently, a program of monetary incentives for doctors has been developed; however, it is currently at the stage of pilot testing.Four topics were selected to implement the mhGAP guidelines in Kyrgyzstan: depression, suicide/self-harm, childhood and adolescent mental and behavioral disorders, and substance abuse. mhGAP topics have been included in the curriculum of medical institutes and universities . The Department of Family Medicine of the Kyrgyz State Medical Institute of retraining and advanced training provides postgraduate training for family doctors and nurses.The evaluation is based on post-training feedback questionnaires as well as pre- and post-tests from mhGAP. Evaluation of the training showed that 75% of general practitioners rated mhGAP guidelines as relevant and necessary for their practice. In addition, training was also evaluated based on medical records. Detection of depression and suicide among the population from regions where practitioners participated in the pilot training increased by 17%. Based on these results, it was recommended to include mhGAP-IG in the curriculum of medical HEIs.The mhGAP-IG was successfully implemented on under- and postgraduate levels. The program was evaluated based on students\u2019 and residents\u2019 performance and feedback surveys. Additionally, efficacy of practitioners training was evaluated based on medical records. Implementation of the mhGAP-IG contributed to increased awareness about mental health and recognition of mental health professionals.The mhGAP-IG has been successfully implemented in all four countries at both undergraduate and postgraduate levels. In all cases, the importance of support and recognition by the administration was pointed out. In one case (Kyrgyzstan), legislative changes and support were needed to permit the introduction of mhGAP-IG in educational programs at the country level.At the undergraduate level, the program was introduced into existing curricula for students of different years of study, including second year (Armenia), fourth year (Ukraine), and sub-internship year (Georgia). At the postgraduate level, existing programs were revised or new ones created based on mhGAP-IG. In two countries (Armenia and Kyrgyzstan), mhGAP-IG has been included in postgraduate programs for general practitioners. In Ukraine and Armenia, postgraduate programs for doctors of other specialties were developed based on or using mhGAP-IG. In one country (Armenia), a postgraduate educational program for nonmedical specialists was developed based on mhGAP-IG. Only in one country (Kyrgyzstan), educational programs including mhGAP-IG targeted for both family doctors and nurses. In one country (Georgia), mhGAP-IG modules were included in the educational program of psychiatry specialists .All countries implemented modules on depression, suicide, and child and adolescent mental and behavioral disorders. Three countries implemented the module on substance use disorders, and two countries implemented modules on dementia. Only Ukraine implemented the module on epilepsy. Only Georgia implemented the modules on psychosis and other significant mental health complaints.The scope and nature of evaluating the effectiveness of introducing mhGAP-IG into educational programs varied from country to country , but maiThe study is limited in its inclusion of only four countries, united by similarities in socioeconomic background and implementation of mhGAP-IG during a similar timeframe. It is envisioned that this description of the process of implementing mhGAP-IG in these countries can help other countries that may be interested in introducing what appears to be a helpful tool in advancing the population\u2019s access to mental healthcare. There is also the possibility of self-reporting bias, as the questionnaire were self-administered.This study shows that the mhGAP-IG can be successfully adapted and implemented on both undergraduate and postgraduate education levels for medical and allied specialties."}
+{"text": "Surfactants, especially non-ionic surfactants, play an important role in the preparation of nanocarriers and can also promote the enzymatic hydrolysis of lignocellulose. A broad overview of the current status of surfactants on the immobilization of cellulase is provided in this review. In addition, the restricting factors in cellulase immobilization in the complex multiphase hydrolysis system are discussed, including the carrier structure characteristics, solid-solid contact obstacles, external diffusion resistance, limited recycling frequency, and nonproductive combination of enzyme active centers. Furthermore, promising prospects of cellulase-oriented immobilization are proposed, including the hydrophilic-hydrophobic interaction of surfactants and cellulase in the oil-water reaction system, the reversed micelle system of surfactants, and the possible oriented immobilization mechanism. Bioethanol, as a renewable, economically affordable, and environmentally safe energy material, will gradually become a substitute for fossil fuels. It has far-reaching research significance and application value for the development of a sustainable energy strategy . Due to In general, lignin-derived inhibition is the major physical obstacle restricting the enzymatic hydrolysis of cell wall polysaccharides . More imTo overcome these barriers, immobilization is usually used to improve enzyme stability and even activity or selectivity when properly designed, which can also facilitate the reuse of enzymes and effective cost of catalytic processes . The chaMoreover, the immobilization of cellulase has been achieved based on physical adsorption, covalent binding, or affinity interactions , includiThe surfactants have been widely used for the preparation of nanocarriers as shown in The basic physical and chemical properties of surfactants, such as micelle formation, dispersing, emulsifying, and solubilizing, have made them widely useful in the field of nanotechnology . SeveralSurfactants can also change the surface properties of nanocarriers, such as their morphology, magnetic properties, dispersion, and catalytic performances . This moThe structure and properties of carrier materials have great influence on the properties of immobilized cellulase, such as internal geometry , specific surface area, superficial activation degree, mechanical resistance, and pore diameter . MeanwhiThe physical effects of nanocarriers on immobilized cellulase are as follows: 1) The pore size and effective surface area of the nanocarriers. Not all porous carriers can be used for immobilization of cellulase due to the limitation of pore size, which should be larger than or equal to that of the cellulase to reduce steric hindrance. The effective surface area occupied by the enzyme determines the maximum load of the immobilized cellulase . When a 2). Moreover, the hydrophilic properties of the C-MNPs play an important role in the preparation of oriented-immobilized cellulase based on the SRM system. The conventional immobilization of cellulase molecules on a single magnetic nanocarrier is simple, the chitosan was usually first coated on the magnetic nanocarriers for further combination with cellulase , which are easier to co-precipitate with cellulase distributed at different ends. In the water-oil (W/O) system, the surfactants are dissolved in the nonpolar organic solvent when a trace of water is provided, and the reversed micelles are formed when the concentration exceeds the CMC (The SRM system has been widely used in the preparation of immobilized enzymes . The spe the CMC . In reve the CMC . Accordi the CMC .Multipoint covalent attachment is likely the most effective strategy for immobilization, but it is difficult to allow the immobilization of enzymes at a well-defined position since the proteins are usually attached to the solid surface by uncontrolled chemical bonds . The uncCellulase plays an important role in the production of fuel ethanol by the enzymatic hydrolysis of lignocellulose, and the immobilization of cellulase on the nanocarriers is an effective way to improve hydrolysis efficiency. However, the nanocarrier structure characteristics, solid-solid contact obstacles, external diffusion resistance, limited recycling frequency of nanocarriers, and nonproductive combination of enzyme active centers restricted the further improvement of hydrolysis efficiency in the complex multiphase system. Surfactants can promote the enzymatic hydrolysis of lignocellulose and play an important role in the preparation of nanocarriers. The special SRM system caused by the amphiphilicity in the oil-water reaction system can provide effective protection to obtain the immobilization of single-layer cellulase, which can effectively prevent the immobilization of cellulase and increase the effective attachment of immobilized cellulase and solid substrates."}
+{"text": "Ferroptosis is a new form of programmed cell death due to iron-dependent excess accumulation of lipid peroxides and differs from other programmed cell deaths in morphological and biochemical characteristics. The process of ferroptosis is precisely regulated by iron metabolism, lipid metabolism, amino acid metabolism, and numerous signaling pathways, and plays a complex role in many pathophysiological processes. Recent studies have found that ferroptosis is closely associated with the development and progression of many lung diseases, including acute lung injury, pulmonary ischemia-reperfusion injury, lung cancer, chronic obstructive pulmonary disease, and pulmonary fibrosis. Here, we present a review of the main regulatory mechanisms of ferroptosis and its research progress in the pathogenesis and treatment of lung diseases, with the aim of providing new ideas for basic and clinical research of lung-related diseases. Ferroptosis is a new type of iron-dependent programmed cell death caused by lipid peroxidation (LPO), which differs from other programmed cell deaths in morphology and biochemical characteristics. In terms of morphology, there is no chromatin agglutination and nuclear fragmentation as opposed to the process of cell apoptosis, nor the formation of autophagic vacuoles with two-layered membrane structures seen during autophagy, or swelling of organelles and rupture of the plasma membrane during necrosis. Its main morphological characteristics are mitochondrial shrinkage and increased mitochondrial membrane density, accompanied by the reduction or disappearance of mitochondrial cristae and outer membrane disintegration . The corLPO is the key link in triggering ferroptosis. Excessive accumulation of LPO will cause plasma membrane damage and eventually lead to cell ferroptosis. Polyunsaturated fatty acids (PUFAs) are more prone to oxidation to produce peroxy groups due to their labile double bonds, and are also one of the key mechanisms of ferroptosis. When PUFAs are present in large amounts, more lipid peroxides are produced, aggravating the degree of ferroptosis . With th2+ in cells, which is composed of transferrin receptor (TfR), divalent metal ion transporter-1 (DMT1), transferrin, ferroportin1 and ferritin (Ft), etc system. The IRP system can sense the concentration of free FeFt), etc . Fe3+ inol (LIP) . LIP can(LIP) is located in the cytoplasmic membrane and exerts an anti-ferroptosis effect through its N-terminal myristoylated motif. It is the redox of NADPH-dependent coenzyme Q (CoQ) oxidoreductase. FSP1 maintains the reduced form of CoQ at the plasma membrane, which antioxidant activity is not dependent on GSH. The reduced form of CoQ traps lipid peroxyl radicals and prevents the diffusion of LPO . In GPX4Nuclear transcription factor-2 (Nrf2) is a critical regulator of antioxidant response . Under nVarious types of cell death have been implicated in the regulation of inflammation. When ferroptosis occurs, it can mediate inflammation immunogenically, intervening in the immune system to dispose of dying cells. Intracellular components undergoing ferroptosis can release ATP, nucleotides, and pro-inflammatory cytokines from pro-inflammatory damage-associated molecular patterns (DAMPs) to promote the development of necroinflammation . In addiin vitro model of IR generates a large amount of ROS, which may recruit pro-inflammatory leukocytes and destroy the membrane integrity of plasma endothelial and epithelial cells is a disease with airflow obstruction as the main pathological change, which can cause irreversible lung injury. The etiology of COPD is not clear, and it is currently believed to be related to the abnormal inflammatory response of harmful gases and harmful particles. Cigarette smoke (CS) has an important effect on iron homeostasis in the lung. Exposure of mouse and human bronchial epithelial cells to CS increased the concentrations of iron, Ft, serum ferritin and non-heme iron in lung cells . EndoplaPulmonary fibrosis (PF) is an interstitial lung disease that develops from long-term inhalation of dust, the use of drugs such as amiodarone, bleomycin, or lung injury caused by radiation therapy. The formation of fibrotic foci is a prominent pathological feature of PF . Collage2+, ROS and mitochondrial superoxide, which inhibits ferroptosis by acting as a competitive endogenous RNA. It is also observed that overexpression of lncRNA LINC00336 limits ferroptosis induced by GPX4-inhibitor RSL3 in lung adenocarcinoma cells , macrophages to accumulate in the airways and release inflammatory factors leading to chronic airway inflammation. In a highly oxidized microenvironment, H2O2 can up-regulate Th2-driven airway inflammation by influencing the secretion of Th1 and Th2 cytokines and enhancing the airway\u2019s hyperreactivity, which makes the above symptoms prolonged and aggravated . Airway rticoids . In hypeMycobacterium tuberculosis (Mtb), the macrophages in the alveoli are the first to secrete large amounts of IL-1, IL-6, and TNF-\u03b1, allowing lymphocytes and monocytes to aggregate, forming combined granulomas to limit the spread of Mtb. Th1 cells play an immune protective role and promote the function of macrophages. The contest between Mtb and macrophages determines the direction of tuberculosis. Studies have found that Mtb-induced macrophage death was associated with decreased GSH and GPX4 levels and increased free iron, mitochondrial superoxide, and LPO. The destruction of macrophages by Mtb was reduced after Ferrostatin-1 treatment. Similar manifestations were also seen in necrosis of the lung, demonstrating that ferroptosis is the primary mechanism of necrosis in Mtb infection is an infectious inflammatory disease. In the early stage of infection, the symptoms are mostly fever, cough, muscle aches, and fatigue . Severe The pathological changes of COVID-19 mainly include hemoglobin damage, hypoxia, methemoglobinemia, and cellular iron overload . Iron isIron chelator has immunomodulatory and anti-inflammatory effects, and can bind to several receptors used by SARS-CoV-2 to prevent it from entering host cells. The therapeutic mechanism of iron chelators also includes down-regulation of hepcidin, binding of free iron, or depletion of iron from Ft, thus interfering with virus replication . After SReducing the concentration of intracellular iron and increasing the level of reducing agents is the most fundamental treatment to alleviate the redox and ROS damage of cells, especially in severe COVID-19 cases like ARDS. The correct selection of chelating agents and reducing agents to prevent the early formation of ROS is an important control measure.Ferroptosis is a new way of programmed cell death caused by the excessive accumulation of iron-dependent LPO, involving various metabolic pathways such as amino acid metabolism, lipid metabolism, and iron metabolism. With the progress of ferroptosis research, more and more influencing pathways and regulatory factors have emerged, forming a complex network of ferroptosis occurrence and development. A large number of experimental studies have revealed that ferroptosis is involved in the morphological changes and pathological processes of various diseases. In ALI, IR, COPD, and pulmonary infectious diseases where ferroptosis is clearly involved in the injury mechanism, intervention at a certain point in the ferroptosis network may play a role in the early prevention of the disease. This would lead to the improvement of clinical symptoms and control of the development of the disease course. In the future, we can also try to explore whether the combined use of ferroptosis inhibitors in various ways will achieve better therapeutic effects. Therefore, in the context of the many achievements in animal model experiments, it is essential to perform more in-depth studies on the mechanisms and targets of action of ferroptosis inhibitors. More efficient and specific modulation of cellular ferroptosis is key for future research."}
+{"text": "Betula platyphylla Suk. is one of the most widely distributed temperate deciduous tree species in East Asia and has important economic and ecological value. Based on 231 species distribution data points of Betula platyphylla Suk. in China and 37 bioclimatic, soil, and topography variables (with correlation coefficients < 0.75), the potential geographical distribution pattern of Betula platyphylla Suk. under Representative Concentration Pathway (RCP) climate change scenarios at present and in the 2050s and 2070s was predicted using the MaxEnt model. We analyzed the main environmental variables affecting the distribution and change of suitable areas and compared the scope and change of suitable areas under different climate scenarios. This study found: (1) At present, the main suitable area for Betula platyphylla Suk. extends from northeastern to southwestern China, with the periphery area showing fragmented distribution. (2) Annual precipitation, precipitation of the warmest quarter, mean temperature of the warmest quarter, annual mean temperature, and precipitation of the driest month are the dominant environmental variables that affect the potential geographical distribution of Betula platyphylla Suk. (3) The suitable area for Betula platyphylla Suk. is expected to expand under global warming scenarios. In recent years, due to the impact of diseases and insect infestation, and environmental damage, the natural Betula platyphylla Suk. forest in China has gradually narrowed. This study accurately predicted the potential geographical distribution of Betula platyphylla Suk. under current and future climate change scenarios, which can provide the scientific basis for the cultivation, management, and sustainable utilization of Betula platyphylla Suk. resources.Climate is a dominant factor affecting the potential geographical distribution of species. Understanding the impact of climate change on the potential geographic distribution of species, which is of great significance to the exploitation, utilization, and protection of resources, as well as ecologically sustainable development. Climate plays a major role in species distributions on regional and global scales, influencing the biodiversity and the potential geographical distribution of species \u20133. GlobaBy studying the relationship between species distribution and environmental variables, we can explore the dominant environmental variables that affect the geographical distribution of species, determine the potential geographical distribution range of species, and analyze the impact of climate change on species distribution , 15. BasBetula platyphylla Suk. is one of the most important pioneers and associated tree species in the Larix forest community in East Asia . The boundary was obtained from Natural Earth . Based on the principle of national and territorial integrity, we have modified and adjusted the vector boundary.DEM was obtained from National Tibetan Plateau Data Center ((TIF)Click here for additional data file.S1 Table(XLSX)Click here for additional data file.S2 Table(DOCX)Click here for additional data file."}
+{"text": "Dear Editor,A 60-year-old female patient with a history of chronic liver disease, portal hypertension, polycythemia vera, hypothyroidism, and type 2 diabetes mellitus, presented to the Emergency Section of a University Hospital reporting the appearance of painful purpuric lesions in the lower limbs three days before. She denied fever, chills, arthralgia, or trauma. She denied the use of new medications. She reported receiving the second dose of the COVID-19 vaccine (Oxford-AstraZeneca) approximately eleven days before. She denied a similar previous clinical picture. On physical examination, she had purpuric lesions and palpable papules, which did not disappear on digital pressure .Figure 1She reported daily use of propranolol, metformin and levothyroxine. She described stability of the polycythemia vera since December 2015. She was submitted to two lower-limb skin punch biopsies for histopathological analysis and immunofluorescence (IF). Prednisone (1\u202fmg/kg/day) was started once a day. The histopathological examination showed a mixed inflammatory infiltrate with predominantly perivascular fragmented neutrophils associated with extravasated red blood cells a\u2013c. IF sImmunization is a highly important resource in the fight against pandemics, especially the current one caused by COVID-19. However, possible side effects have not yet been fully described. As portrayed by Cohen et al. 2021) and Bostan et al. (2021), there are reports in the literature that point to leukocytoclastic vasculitis following the application of the COVID-19 messenger ribonucleic acid (mRNA) vaccine, such as the vaccine produced by Moderna and Pfizer.021 and BIt is unclear whether the COVID-19 vaccine can reactivate or trigger autoimmune diseases.None declared.Matheus Fritzen: Statistical analysis; approval of the final version of the manuscript; design and planning of the study; drafting and editing of the manuscript; collection, analysis, and interpretation of data; effective participation in research orientation; intellectual participation in the propaedeutic and/or therapeutic conduct of the studied cases; critical review of the literature; critical review of the manuscript.Gabriella Di Giunta Funchal: Statistical analysis; approval of the final version of the manuscript; design and planning of the study; drafting and editing of the manuscript; collection, analysis, and interpretation of data; effective participation in research orientation; intellectual participation in the propaedeutic and/or therapeutic conduct of the studied cases; critical review of the literature; critical review of the manuscript.Mariana Oliveira Luiz: Statistical analysis; approval of the final version of the manuscript; design and planning of the study; drafting and editing of the manuscript; collection, analysis, and interpretation of data; effective participation in research orientation; intellectual participation in the propaedeutic and/or therapeutic conduct of the studied cases; critical review of the literature; critical review of the manuscript.Giovanna Steffenello Durigon: Statistical analysis; approval of the final version of the manuscript; design and planning of the study; drafting and editing of the manuscript; collection, analysis, and interpretation of data; effective participation in research orientation; intellectual participation in the propaedeutic and/or therapeutic conduct of the studied cases; critical review of the literature; critical review of the manuscript.None declared."}
+{"text": "We assess the differences in the effect of traumatic brain injury (TBI) on the decline in cognitive status and the risk of Alzheimer\u2019s disease and related dementia (AD/ADRD) between veteran and non-veteran respondents of the Health and Retirement Study (HRS) and measure the sensitivity of these differences to the incremental introduction of controls for associated risk factors. Three groups of AD/ADRD risk-related variables were used: i) demographic/socioeconomic factors, including gender, race, marital status, education, income, and the number of limitations in activities of daily living; ii) comorbidities, including co-existing depression/post-traumatic stress syndrome (PTSD), substance abuse, diabetes mellitus, stroke, and heart failure; and iii) genetic factors, including the presence of at least one pair of the APOE4 allele and a series of polygenic risk scores associated with AD hallmarks. The dynamics of changes in cognitive impairment in response to TBI, PTSD, and mild cognitive impairment were validated against respective measures estimated using the Department of Defense Alzheimer\u2019s Disease Neuroimaging Initiative (DoD-ADNI) data. The results of the analyses showed that TBI and PTSD were strongly associated with cognitive decline and the risks of AD/ADRD in both veteran and non-veteran subpopulations in HRS data and the difference between them was not statistically significant. Effect magnitude decreased with the addition of risk-related control variables but remained associated with the increased risks. Prevalence of mild cognitive impairment was associated with TBI at baseline in DoD-ADNI data, but no cognitive decline was observed during one year of follow-up."}
+{"text": "IEEE Open Journal of Engineering in Medicine and Biology focuses on the major interrelated components of Rapid Acceleration of Diagnostics (RADxSM) Tech, a National Institutes of Health (NIH)-funded program launched on April 29, 2020 to accelerate development, validation, and commercialization of innovative point-of-care and home- based tests, as well as improvements to clinical laboratory tests, that can directly detect SARS-CoV-2, the virus that causes COVID-19. RADx Tech was implemented and coordinated by the Consortia for Improving Medicine with Innovation & Technology (CIMIT) in its role as the Coordinating Center for the Point-of-Care Technologies Research Network (POCTRN) in conjunction with the NIH and the four POCTRN Centers This Special Section of the Likened to a mini-Manhattan Project by Sen. Lamar Alexander et\u00a0al.), the expert review panels , the unique facilitation provided to the funded applicants , the POCTRN Cores that evaluated the technologies at the benchtop and in actual use , and the support for large-scale manufacturing and deployment of diagnostic tests . The final paper describes the impact of RADx Tech on future med-tech entrepreneurs and developers .This Special Section provides operational details for the key components and processes of RADx Tech that have proven to be vital to its success: software platforms that enabled the program's infrastructure and processes (Collins On behalf of POCTRN and as Co-Principal Investigators for the POCTRN Coordinating Center, we are grateful to NIH leadership for their invaluable support and guidance, especially National Institute of Biomedical Imaging and Bioengineering director Bruce Tromberg and NIH director Francis Collins, and are privileged to present this collection of outstanding papers from a group of dedicated colleagues committed to serving our nation, which we humbly suggest represents a new paradigm for medical technology development and a validated model for the United States to use and adapt when challenged by another national healthcare emergency.Steven C. Schachter, Guest EditorCo-PI of the Coordinating Center for POCTRNChief Academic Officer of CIMITBoston, MA 02114 USAsschacht@bidmc.harvard.eduJohn A. ParrishCo-PI of the Coordinating Center for POCTRNChief Executive Officer of CIMITBoston, MA 02114 USA"}
+{"text": "Primary biliary cholangitis (PBC) is a chronic autoimmune cholestatic liver disease that can progress to liver fibrosis and cirrhosis, and requires timely diagnosis, optimal treatment, and risk stratification. Several guidelines for the management of PBC have been published, including the American Association for the Study of Liver Disease (AASLD) and European Association for the Study of the Liver (EASL) Clinical Practice Guidelines, which include goals for standards of PBC care. However, recent audits have identified deficiencies in real-world PBC care. In addition, the global coronavirus (COVID-19) pandemic has generally reduced access to care, diminished healthcare resources and accelerated the use of remote patient management. There is therefore a need for simple, actionable guidance that physicians can implement in order to maintain standards of care in PBC in the new environment.A working group of ten PBC specialists from Europe and Canada were convened by Intercept Pharmaceuticals in January 2020 with the aim of defining key criteria for the care of patients with PBC.Following the outbreak of the COVID-19 pandemic, based on these criteria, a smaller working group of six PBC specialists developed practical recommendations to assist physicians in maintaining standards of care and to guide remote management of patients.Figure 1).The working group defined five key criteria for care in PBC, encompassing PBC diagnosis, initiation of first line therapy with ursodeoxycholic acid (UDCA), risk stratification on UDCA, symptom management, and initiation of 2L therapy. The group developed 21 practical recommendations for the management of patients with PBC in the COVID-19 environment including modality, frequency and timing of investigations and monitoring. (The delivery of PBC care during the COVID-19 pandemic carries significant challenges. These consensus criteria and practical recommendations provide guidance for the management of PBC during the pandemic era and beyond.NoneIntercept Pharmaceutical"}
+{"text": "Anal canal and peri-anal squamous cell carcinomas (ASCCs) are relatively rare cancers that affect approximately 8000 patients per year in the United States. The rate appears to be rising, which is potentially attributable to the increasing incidence of oncogenic Human Papilloma Virus (HPV) infection. Historically, patients were treated with abdominoperineal resection with resulting permanent colostomy dependence. Through landmark efforts and sequentially designed clinical trials, the majority of patients with localized disease are now effectively treated with radiotherapy and chemotherapy, or in select cases, sphincter-preserving surgery, with favorable outcomes. However, continued efforts are needed to gain a better understanding of ASCC disease biology and to continue improving cancer control while maximizing the quality of life for patients. The purpose of this Special Issue is to discuss the historical perspectives of surgery, radiotherapy, and systemic therapy; the evolution of therapy over time; and current areas of investigation to advance our understanding of the multi-disciplinary management of patients with ASCC.This Special Issue consists of six articles that provide an in-depth overview of contemporary practice and future areas of investigation. First, Dee et al. and PossIn conclusion, this Special Issue presents an in-depth discussion of the evolution of therapy for patients with ASCC, highlights the importance of multidisciplinary collaboration, and introduces numerous areas of active investigation to help improve outcomes for our patients."}
+{"text": "The development of metal nanoparticle-based facile colorimetric assays for drugs and insecticides is an emerging area of current scientific research. In the present work, polypropylene glycol was used for stabilization of gold nanoparticles (AuNPs) in a simple one-pot two-phase process and subsequently employed it for the specific detection of cephradine (CPH). The characterization of the prepared PPG-AuNPs was conducted through various analytical techniques such as UV-visible spectrophotometry, Fourier transform infrared spectroscopy, atomic force microscopy (AFM), zeta potential and zetasizer techniques. As the major target of the study, the stabilized PPG-AuNPs were employed for colorimetric detection of CPH and other drugs. Typical wine-red colour of PPG-AuNPs disappeared immediately and surface plasmon resonance band quenched by addition of CPH in the presence of several other interferents and in real samples. PPG-AuNPs permitted efficient, selective, reliable and rapid determination in a concentration range of 0.01\u2013120 mM with a detection limit (LoD) of 11.0 mM. The developed sensor has the potential to be used for fast scanning of pharmaceutical formulations for quantification of CPH at production facilities. The coupling stoichiometry between PPG-AuNPs and CPH as obtained by Job plot is found to be 1 : 1, The efficiency of any developed method must be validated in the presence of other interfering drugs and salts in the context of real sample analysis. The developed sensor for CPH in this study was found to be robust in the presence of several other interfering drugs and salts. The presence of other drugs namely aspirin, ibuprofen, ampiciline acid, paracetamol, clindamycin, aminophylline, cephalexin, salbutamol, phenytoin, isoniazid, azithromycin, cefixime, cefuroxime, DL tryptophan, theophylline and salts namely potassium bromide, calcium carbonate, calcium bicarbonate and sodium chloride having concentration equal to CPH did not have any pronounced effect on the efficiency of the developed colorimetric CPH sensor, CPH analysis has been reported using many instrumental techniques such as HPLC, ELISA, voltammetry, NMR and GC-MS in different environmental and biological samples, All the above studies were carried out in DI water. Moreover, the authenticity of interference study and validity of PPG-AuNP-based proposed assay for CPH in context of real samples was evaluated by employing the optimized protocols for tap water, urine, serum and blood plasma samples. Immediate disappearance of wine-red colour of PPG-AuNPs and quenching of the typical UV-Vis peak confirms the applicability of the proposed CPH assay for all real samples in the presence of natural interferents, c. The amount of CPH as obtained by the calibration curve is fairly close to the manufacturer claim and analysis of the same sample by independent HPLC-UV and UV-Vis spectroscopy, As the next step, the developed CPH assay was used for quantification and quality control of commercial drugs containing CPH. An appropriate amount of the commercial drug as per claims of the manufacturer was added to the PPG-AuNPs. The immediate disappearance of the wine-red colour of the PPG-AuNPs gave the first indication of the presence of CPH. The next step is the evaluation of the quantitation capability of the proposed colorimetric sensor. The extent of quenching in the UV absorption band, evaluated by the absorbance after addition of the drug, is compared with the calibration curve, figure\u00a07The proposed colorimetric assay for CPH in this study is robust and applicable to samples containing different interfering species and for quick quality control in the production facilities. The advantages of the proposed colorimetric assay for CPH include fast, facile, on-spot analysis of drug contamination in environmental and biological samples without any involvement of high-tech instrumentation.. 4The uniquely developed colorimetric sensing based on PPG-AuNPs has proved to be a rapid and sophisticated one-pot quantitative assay for CPH. Characterization of PPG-AuNPs, CPH and PPG-AuNPs/CPH was done through zeta sizer, AFM, FT-IR and UV-visible spectroscopy. The synthesized PPG-AuNPs were found to be resistant to various external variables such as temperature, pH and the presence of electrolytes. Typical wine-red colour of AuNPs immediately disappears by the addition of CPH and SPR band of AuNPs quenched. The proposed method has a linear dynamic range from 0.025 to 120 mM with a limit of detection of 11.0 mM. The presence of other drugs and ions did not have any pronounced effect on the sensing ability of the PPG-AuNP-based assay for CPH. The proposed method can be used for environmental, biological and pharmaceutical samples. Reasonable selectivity, the simple procedure of preparation and application, a relevant dynamic range and limit of detection demonstrate the potential of PPG-AuNP-based CPH detection method for practical applications without any involvement of high-tech instrumentation. Furthermore, the proposed method can be employed for a quick screening of pharmaceutical formulations in the context of quantification of CPH on production facilities.Click here for additional data file."}
+{"text": "Sambucus nigra L.) attracts attention due to its easy cultivation and high availability of bioactive compounds. Most of the available data concerning black elder\u2019s therapeutic action are focused on its effects such as activation of immune processes and anti-inflammatory processes and regulation of hormones and their receptors in cancer cells. The effects of elderberry on reproduction have been poorly investigated so far. Nevertheless, conducted studies so far demonstrate the stimulatory influence of black elder extract and its constituents, such as rutin, anthocyanins and agglutinins, on the viability and steroidogenesis of healthy ovarian cells as well as their ability to promote apoptosis and reduce the viability and proliferation of ovarian cancer cells. Furthermore, the action of black elder extract and its constituent biomolecules, such as anthocyanins and lectins, on embryogenesis and the embryonal estradiol-estradiol receptor system have also been reported. The available information, despite limitations, suggest the applicability of black elder constituents for improvement of reproductive processes in animal biotechnology, animal production and assisted reproduction, as well as for prevention and treatment of reproductive disorders (including cancer) in veterinary and human medicine.The present review summarizes the current knowledge concerning provenance, properties, physiological and therapeutic actions of elderberry and the bioactive molecules present in the plant, with emphasis on their action on female reproduction. Elderberry or black elder ( The search for new regulators of reproduction is important for the solution of various problems of modern society. Intensive animal production is associated with growing incidences of farm animal infertility . The occThe majority of reproductive dysfunctions have similar causes and mechanisms\u2014the ability of various adverse environmental factors to induce oxidative stress\u2014including the accumulation of reactive oxygen species, which are deleterious to DNA and proteins, ovarian folliculogenesis and embryogenesis. Oxidative stress can be prevented by antioxidants . The mosSambucus nigra L.). Due to its health-promoting and sensory properties, elderberry is used primarily in the food and pharmaceutical industries [One of the promising and widely accessible sources of antioxidants and other biologically active substances affecting reproductive and non-reproductive processes and health could be the black elderberry are rich sources of dietary phytochemicals, such as carbohydrates, lipids, terpenoids, flavonoids, phenolic acids, alkaloids, etc. ,20. The The characteristic aroma of elderberries is a result of (E)-\u03b2-damascenone, dihydroedulan, ethyl-9-decenoate, 2-phenyl ethanol, phenylacetaldehyde and nonanal. Alcohols, esters and aldehydes are frequently identified volatile groups in elderberries. Other major secondary metabolites comprise approximately 1% triterpenes and about 1% sterols . In addition, pectins, tannins and phenolic acids are found in the flowers ,36. EldeTherefore, various parts of the elderberry plant demonstrate the presence of high amounts of biologically active molecules with a wide spectrum of effects\u2014from antioxidative and phytoestrogenic polyphenols to toxic aldehydes and glycosides. The presence of these molecules could explain the physiological and therapeutic effects of this plant, as well as the variability in its action on different targets listed below.Elderberry is widely used in folk medicine through its pharmacological properties . CurrentElderflowers have been used in traditional medicines for the management of inflammation, skin disorders such as diuretic, colds, fevers and other respiratory disturbances ,64,65. FNo substantial adverse side effects of black elderberry have been reported so far . MoreoveIt is widely accepted that elderberries\u2019 curative capacity is due to the presence of high amounts of polyphenolic compounds, primarily flavonols, phenolic acids and anthocyanins. The presence of polyphenols, which assure the defense of plants against pathogenic microorganisms, can also explain the ability of black elderberry to suppress the activity of viruses ,53,54 anPlant polyphenols are known free radical scavengers and are able to protect the human body against oxidative stress and peroxidative processes ,76,77,78There is evidence that the positive action of elderberry on vascular health is due to the presence of anthocyanins, especially cyanidin-3-O-glucoside ,62. MoreIt may, however, be noted that search for an active compound of any plant, including elderberry, is difficult because the tested commercial and non-commercial dietary supplements usually contain multiple ingredients. In addition, substantial differences are often found between labelled and actual ingredients or their amounts . FurtherAs mentioned above, several curative effects of elderberry could be explained by high contents of antioxidants, which can either directly eliminate free oxygen species or promote antioxidative enzymes within the cells ,76,77,78kappa B (NF-\u03baB) and interleukin 8 (IL-8). Some similar signaling substances were changed during curative elderberry action on skin photoaging and inflammation. This effect was associated with a decrease in matrix metalloproteinase-1 (MMP-1) expression, secretion of inflammatory cytokines, mitogen-activated protein kinases/activator protein 1 (MAPK/AP-1) and NF-\u03baB signaling pathways and skin inflammation. In addition, elderberry extract improved nuclear factor E2-related factor 2/heme oxygenase-1 (Nrf2/HO-1) signaling to increase oxidative defense capacity, enhanced transforming growth factor beta (TGF-\u03b2) signaling activation to promote procollagen type I synthesis and blocked extracellular matrix degradation [Furthermore, the antioxidative and anticancer effects of elderberry anthocyanins are associated with the downregulation of promoters and markers of inflammation, such as monocyte chemoattractant protein-1 (MCP-1), transcription factor nuclear factor radation . The protective effect of elderberry flavonoids and pectins against the influenza virus is probably mediated by stimulating the immune system of the host through enhancing the production of inflammatory cytokines such as interleukins IL-6, IL-8 and tumor necrosis factor (TNF) ,68,83 anIn addition, black elderberry anthocyanins can improve vascular health by promoting the production of nitric oxide, which in turn promotes vascular permeability and vasodilation and reduces blood pressure . On the Finally, elderberry can influence some physiological processes via changes in steroid hormones and their receptors. Elderflower extracts promoted estradiol release, downregulated estrogen receptor alpha and upregulated progesterone receptor expression in cultured breast cancer cells, which are involved in the control of cell proliferation . The endTaken together, the available data suggest that the non-reproductive effects of black elderberry are mediated by changes in oxidative, inflammatory, and regenerative processes, as well as angiogenesis, steroid hormones and their receptors. The functional interrelationships between these processes are possible. At least, the influence of oxidative stress and antioxidants on inflammatory processes, which in turn trigger cancerogenesis/carcinogenesis, has been suggested . FurtherOur recent in vitro study demonstrated the promising stimulatory effect of elder-berry extracts on the viability of human ovarian granulosa cells . This inThe role of a particular elderberry molecule responsible for its effect could be detected by comparison of the effects of the whole elderberry extract and its particular constituents. The most known biologically active constituents of elderberry are rutin, anthocyanins and agglutinins. The most abundant polyphenol in elderflower and elderberry is the flavonoid rutin ,26. The In contrast to healthy ovarian cells, in the case of cultured cancer cells, native and hydrolyzed rutin exerted in vitro inhibitory activity against human ovarian adenocarcinomas by suppression of the viability and proliferation of OVCAR-3 ovarian carcinoma cells ,93. AddiThe present observations suggest the stimulatory influence of black elderberry substances on the viability of healthy ovarian cells and the ability of elderberry to promote apoptosis and reduce the viability of cultured ovarian cancer cells. These phenomena suggest that this plant can be principally useful for stimulation of healthy ovarian cells and suppression of cancer ovarian cell functions. The comparison of the action of elderberry and its constituents indicates that its action on ovarian cell viability and proliferation can be due to the presence of rutin, anthocyanins and/or agglutinins.Our recent study demonstrated the influence of both elderberry extracts from dark purple elderberry fruits, as well as from elderflowers on steroid hormone release by cultured human granulosa cells. The release of both progesterone and 17\u00df-estradiol by the cells was increased after supplementation by either elderflower extract or extract from the berries of the shrub. The results of this study demonstrated the benefits of elderberry extracts prepared from different parts of plant (flowers and fruits) in the upregulation of biosynthesis of ovarian steroid hormones in vitro . According to the above-mentioned hypothesis, the black elder constituents responsible for the elderberry\u2019s effects on ovarian steroidogenesis are to be suggested on the basis of the similarity of effects. Such similarity in elderberry and rutin has been reported. In vivo and in vitro studies on rats demonstrated the ability of rutin to promote the plasma luteinizing hormone (LH) level, expression of ovarian follicle-stimulating hormone (FSH) receptors, steroidogenic enzymes, ovarian folliculogenesis and fecundity ,91. In iThe current literature does not portray evidence concerning anthocyanins\u2019 action on ovarian steroidogenesis, although the phytoestrogenic effects of anthocyanins, especially of cyanidin and delphinidin, have been reported ,100. TheAgain, the current literature does not demonstrate the changes in ovarian steroidogenesis under influence of agglutinins. Therefore, there is no evidence so far that elderberry action on ovarian steroid hormones could be due to anthocyanins or agglutinins. On the other hand, the high similarity in stimulatory action of elderberry extract and rutin on healthy granulosa cell viability and steroidogenesis suggests that plant action on ovarian cells can be due to the presence of the most abundant plant flavonol rutin. Furthermore, the steroid-promoting effect of elderberry indicates the potential applicability of this plant and its constituent rutin for the promotion of steroid-dependent non-reproductive and reproductive events including ovarian folliculogenesis and fecundity.Xenopus laevis [Schr\u00f6der et al. did not s laevis or on ths laevis . TherefoOther black elder constituents, such as anthocyanins , and herIn contrast to elderberry anthocyanin, elderberry lectins blocked receptors of vascular endothelial growth factor (VEGF) in embryonal tissue, which is responsible for embryonal angiogenesis . These dSchr\u00f6der et al. also stuTherefore, the available publications indicate both stimulatory and inhibitory actions of elderberry extract and its constituents rutin, anthocyanins and lectins on regulators of embryogenesis, embryonal cancerogenesis and steroidogenesis. The ability of steroid hormones to promote both embryo development and maliAlthough numerous signaling pathways are involved in elderberry action on non-reproductive processes, research enabled the identification of only some pathways mediating the effect of black elderberry on reproduction, and less studies have been performed to detect mediators of this plant\u2019s action on female reproductive processes.The direct action of the elderberry extract on reproductive organs and the ability to affect cultured ovarian and embrThe ability of elderberry constituents rutin ,91 and aElderberry extract affected steroid hormones release by ovarian granulosa cells and embrThe current literature does not contain evidence concerning the intracellular mechanisms of the whole elderberry extract action on ovarian cells; however, there are some reports concerning the key elderberry constituents on cultured ovarian cells and cancer cells, which could help to understand the mediators of elderberry actions on either healthy or malignant cells. Treatment of mice with rutin boosted ovarian follicular health and ovarian cell proliferation, increased the number of active mitochondria and the intracellular level of the antioxidant glutathione, reduced ovarian cell ROS level and markers of apoptosis (PTEN/FOXO3a) pathway and mitigated the toxic effect of cisplatin on ovarian functions .The other elderberry constituents, namely anthocyanins includin(1)Black elderberry agglutinin activates the signaling pathways of AKT and ERK1/2, which promotes de-phosphorylation of dynamin-related protein-1 (Drp-1).(2)Upon its translocation to the mitochondrial fission loci, Drp-1 induces fragmentation of the mitochondrial membrane.(3)Mitochondrial outer membrane permeabilization results in the generation of ROS and cytochrome-c release into the cytosol\u2014the signs of mitochondrial apoptosis.(4)These changes may result in cell cycle arrest before the G2/M phase and programmed cell death.A similar mechanism of action on ovarian cancer cells was reported for black elderberry agglutinin. Chowdhury et al. demonstrResults of the study also demonstrated that black elderberry and its constituent rutin could promote healthy ovarian cell functions through the upregulation of gonadotropins, gonadotropin receptors, steroid hormones, antioxidants, reduction in oxidative stress and apoptosis, which in turn improves ovarian cell viability and fecundity. In contrast, in the case of ovarian cancer cells, elderberry and its constituents, rutin, anthocyanins and agglutinin, can suppress cell viability and functions via the downregulation of the similar mechanisms\u2014AKT- and ERK1/2-dependent intracellular signaling pathways\u2014promoters of cell proliferation and by induction of ROS-induced cytoplasmic/mitochondrial apoptosis. Understanding the causes of opposite action of elderberry and its molecules on healthy and cancer ovarian cells via similar intracellular mechanisms require further studies. Such studies could be helpful for possible application of elderberry for stimulation of healthy ovary and reproductive processes and suppression of ovarian cancer (see below). Available evidence concerning the possible regulators of female reproductive processes affected by black elderberry and its constituents are summarized in The reported effects of black elderberry and its constituents on female reproductive processes summarized here indicate that these plant preparations could be stimulators of healthy ovarian cells and embryogenesis. It is not to be excluded that these preparations can support ovarian folliculogenesis, oogenesis, fecundity, embryogenesis and gravidity, to relieve the age-related reproductive insufficiency and menopause-related problems. As promoters of release and reception of gonadotropins and steroid hormones, as well as phytoestrogens, they could be useful in veterinary and human medicine for the treatment of disorders induced by a deficit of these hormones\u2014age-related reproductive insufficiency, menopause-related problems, osteoporosis and polycystic ovarian syndrome. The ability of elderberry and its molecules to promote reproductive processes and fecundity could be useful in the induction of ovulation and superovulation in biotechnology in animal production and assisted reproduction. On the other hand, the ability of black elderberry substances to downregulate cell proliferation and viability of ovarian and trophoblast tumor cells indicates the potential ability of these substances for prevention, mitigation and treatment of ovarian and embryonal cancers. Efficiency of elderberry\u2019s polyphenols could be increased by search of its safe and effective dosage, and the improvement of its stability, bioavailability and delivery by using nano-emulsion and nanoliposome systems, which can enhance the biological and therapeutic activity of these plant molecules ,112. Analysis of the available literature performed here shows that black elderberry contains several biologically active substances with different, sometimes opposite, actions. Some elderberry constituents could be toxic see . Some otThe reproductive effects of black elderberry extract and its constituents have been investigated insufficiently. Nevertheless, the published reports demonstrate the stimulatory influence of black elderberry extract and its constituents\u2014rutin, anthocyanins and agglutinin\u2014on steroid hormones and their receptors in ovarian and embryonal cells. The stimulatory influence of anthocyanins on embryogenesis has also been reported. On the other hand, rutin, anthocyanins and agglutinins can suppress ovarian and embryonal cancer cell functions. The effects of black elderberry and its molecules could be mediated by intracellular signaling pathways regulating cell proliferation, oxidative processes, cytoplasmic/mitochondrial apoptosis and viability, as well as by estrogen and estrogen receptors and angiogenesis. The available evidence indicates the potential usefulness of black elderberry extract and its constituents rutin and anthocyanins as biostimulators of female reproductive processes, as well as the potential applicability of whole elderberry extract, with rutin, anthocyanins and agglutinins, for the treatment of ovarian cancer and other reproductive disorders in animal biotechnology, animal production, assisted reproduction and veterinary and human medicine.Nevertheless, the current state-of-art research invokes more queries concerning black elderberry action on female reproduction than answers. All biologically active constituents of black elderberry remain to be identified, and their biological activity remains to be investigated. The action of black elderberry extract has not been studied in in vivo experiments, whilst the reproductive effects of elderberry constituents were studied mainly in in vitro experiments and in a few animal studies. Adequate clinical studies have not been reported yet. Moreover, characteristics and mechanisms of action and biological activities of several elderberry constituents have not been compared in the same experiments yet. The conclusions concerning mechanisms of action of elderberry and its molecules are made mainly based on observations of changes in some signaling molecules after treatment, but the physiological role and functional interrelationships between particular signaling molecules remain rather hypothetical. Therefore, although the influence of black elderberry and its constituents on female reproductive processes has been demonstrated, its actions and potential applications require further studies."}
+{"text": "In this article, we \u2013 the Bacterial Viruses Subcommittee and the Archaeal Viruses Subcommittee of the International Committee on Taxonomy of Viruses (ICTV) \u2013 summarise the results of our activities for the period March 2020 \u2013 March 2021. We report the division of the former Bacterial and Archaeal Viruses Subcommittee in two separate Subcommittees, welcome new members, a new Subcommittee Chair and Vice Chair, and give an overview of the new taxa that were proposed in 2020, approved by the Executive Committee and ratified by vote in 2021. In particular, a new realm, three orders, 15 families, 31 subfamilies, 734 genera and 1845 species were newly created or redefined (moved/promoted).The online version contains supplementary material available at 10.1007/s00705-021-05205-9. Given the revived interest in bacterial and archaeal viruses and recent enormous increase in the number of characterized isolates and need for creation of numerous taxa to classify them, the Executive Committee (EC) voted on the creation of two separate Subcommittees , formally starting their mandates after EC52 (October 2020). The new Bacterial Viruses Subcommittee is chaired by Evelien Adriaenssens, supported by Dann Turner as the Vice Chair, and the new Archaeal Viruses Subcommittee is chaired by Mart Krupovic. Both Chairs were elected for three-year terms ending in 2023. As a result, this taxonomy update summarises both bacterial and archaeal virus proposals for the last time, reflecting the fact that proposals were submitted prior to the formal reorganisation of the original Subcommittee.Bacteriophage and archaeal virus taxonomy has been formally under the auspices of the ICTV Bacterial and Archaeal Viruses Subcommittee, which, at its inception in 1966, was named the Viruses of Prokaryotes Subcommittee, led by David E. Bradley , regional representatives and general members. We would like to welcome new members Jesca Nakavuma (Uganda), Alejandro Reyes (Colombia), Cristina Moraru (Germany), Susan Lehman (USA), C\u00e9dric Lood (Belgium) and Andrey Shkoporov (Ireland) and would like to thank those who have left the Subcommittee for their service.Halopanivirales SG, chaired by Hanna M. Oksanen (Finland), oversees the taxonomy of evolutionarily related viruses of the order Halopanivirales, which includes two families of viruses infecting archaea (Sphaerolipoviridae and Simuloviridae) and one family of bacteriophages (Matsushitaviridae). Thus, the latter SG bridges the two Subcommittees. Additional SGs will be created in the near future, in particular, to develop the taxonomy of archaeal members of the class Caudoviricetes; only a handful of isolated representatives of this highly diverse and expansive group of archaeal viruses are currently classified.In the framework of the Bacterial and Archaeal Viruses Subcommittee, all taxonomic proposals dealing with archaeal viruses were handled by a single SG. The new Archaeal Viruses Subcommittee currently includes 11 SGs . Instead, below we provide a brief overview of the most notable changes.We had a record year of submissions of taxonomy proposals in 2020, with 188 proposals submitted, of which all but one were approved and ratified (Supplementary Table S1). The changes at each of the taxonomic ranks in use for bacterial and archaeal viruses are summarised in Table Adnaviria, was created for classification of archaeal filamentous viruses with dsDNA genomes that adopt the A-form conformation within their virions [Tristromaviridae, Rudiviridae and Lipothrixviridae, which are evolutionarily related to each other, but not to any other known group of viruses. The families Rudiviridae and Lipothrixviridae were already grouped together in the order Ligamenvirales [Primavirales, has now been created for the family Tristromaviridae. The two orders are unified in the class Tokiviricetes, kingdom Zilligvirae and realm Adnaviria.Recently, the taxonomic framework of the ICTV has been expanded from five to 15 ranks, with the highest-level rank, realm, being equivalent to the domain rank used for cellular organisms , 3. This virions , 5. The nvirales , and a sPodoviridae. The family Salasmaviridae, named in honour of Margarita Salas Falgueras, comprises the existing subfamily Picovirinae, which includes the classical bacillus phage \u03c629 and a range of related Bacillus-infecting phages with genomes between 18 and 27 kb in size. The family Rountreeviridae, named in honour of Phyllis Margaret Rountree, groups Enterococcus-infecting phages with genomes between 17 and 19 kb in size, whereas the family Guelinviridae, named after Antonina Guelin, groups Clostridium-infecting phages with genome sizes between 16 and 19 kb.We delineated three new families of short-tailed phages with small genomes that were formerly assigned to the family Schitoviridae, named after Giancarlo Schito, is the formalisation of the group of N4-like phages defined by the presence of a large virion-associated RNA polymerase, described in more detail in reference [The new family eference .Zobellviridae, named after Claude Zobell, groups a set of globally distributed podoviruses associated with marine ecosystems first proposed by Bischoff and colleagues [The new family lleagues .Leviviridae was elevated to the rank of class, named Leviviricetes (replacing the class Allassoviricetes), and expanded to include two orders and six new families: Fiersviridae , Atkinsviridae, Duinviridae, Solspiviridae, Blumeviridae and Steitzviridae. A detailed description of the new taxa will be published separately.Based on the investigation by Callanan and colleagues on the expansion of known ssRNA virus genomes , the famAutolykiviridae formalises the group of non-tailed dsDNA bacteriophages discovered and described by Kauffmann and colleagues [The new family lleagues , combiniSphaerolipoviridae, which includes icosahedral tailless viruses with internal membranes, consisted of three genera, Alphasphaerolipovirus, Betasphaerolipovirus and Gammasphaerolipovirus. The first two of these genera included viruses infecting halophilic archaea, whereas the last one included phages infecting thermophilic bacteria [Betasphaerolipovirus and Gammasphaerolipovirus have been renamed and moved from the Sphaerolipoviridae into new families, Simuloviridae and Matsushitaviridae (named after Isao Matsushita), respectively. The order Halopanivirales now contains a family of bacterial viruses, Matsushitaviridae, and two families of archaeal viruses, family Sphaerolipoviridae and Simuloviridae. As mentioned above, the order is under purview of a single Study Group, which is part of both the Archaeal Viruses SC and the Bacterial Viruses SC.Until recently, the family bacteria . Althougbacteria , they diPaulinoviridae addresses the challenge of defining family demarcation criteria for phages with small genomes, where members of the same family would share at least two orthologous proteins. Informed by prior work on a gene-content network of predicted filamentous prophage sequences [Bifilivirus and Thomixvirus from the family Inoviridae to the family Paulinoviridae.The new family equences , we movehttp://ictv.global/report, and summaries of the chapters on each virus family are published in the Journal of General Virology. In 2020, four new chapters on bacterial and archaeal viruses were produced by members of the Archaeal Viruses SC and Bacterial Viruses SC, namely, on the families Herelleviridae [Spiraviridae [Ovaliviridae [Finnlakeviridae [Virus Taxonomy: The Classification and Nomenclature of Viruses - The Online (10th) Report of the ICTV is freely accessible at eviridae , Spiraviaviridae , Ovaliviiviridae and Finneviridae .This past year has been extremely productive in terms of new bacterial and archaeal virus taxa described. It would not have been possible without an active pool of scientists, both within and outside the subcommittee and its study groups, who scour databases, perform analyses and submit proposals. We continue to encourage people to contact us to formalise new discoveries into the taxonomic framework and will keep reaching out to interested parties. Finally, we would like to acknowledge one person in particular, Prof Andrew Kropinski, the Subcommittee Chair from 2014-2020, who authored, co-authored and/or assisted with the majority of proposals that have been approved in the last decade.Supplementary file1 (PDF 175 KB)Below is the link to the electronic supplementary material."}
+{"text": "In the future, AI technologies will likely be used for collecting, processing, and organizing patient-related datasets to provide patient-centered, individualized dental treatment.(1) Background: The rapid pace of digital development in everyday life is also reflected in dentistry, including the emergence of the first systems based on artificial intelligence (AI). This systematic review focused on the recent scientific literature and provides an overview of the application of AI in the dental discipline of prosthodontics. (2) Method: According to a modified PICO-strategy, an electronic and manual search up to 30 June 2021 was carried out for the literature published in the last five years reporting the use of AI in the field of prosthodontics. (3) Results: 560 titles were screened, of which 30 abstracts and 16 full texts were selected for further review. Seven studies met the inclusion criteria and were analyzed. Most of the identified studies reported the training and application of an AI system ( The principle is to simulate the transfer of information through a neuron: weighted nodes receive the inputs (representing the synapses), sum them to produce an activation (representing the axon), and pass this activation to a nonlinear function called activation or transfer function, in order to generate the output signal. Each neuron acts as an elementary processing unit. The output signal of one unit will feed the other units, organized in layers, and so on, forming an artificial neural network (ANN)\u201d . There aMachine learning (ML) is part of weak AI; by recognizing patterns, the computer system is able to learn and make predictions ,17. AfteAI technologies are well suited for repetitive work using large datasets. The greater the workload, the more precise the performance of AI becomes . Since dThe domain of AI in medicine is image data processing in radiological workflows, especially for detection of caries and periapical endodontic lesions , as wellTherefore, the aim of this systematic review was to analyze the recent scientific literature on the diagnostic performance and the clinical applications of AI in applied prosthodontics. The remainder of this systematic review was structured as follows: (a) introduction of the search strategy and related inclusion criteria for data extraction; (b) summary of the obtained findings of the identified and included studies; (c) critical discussion of the results; (d) conclusions.This systematic review was conducted in accordance with the guidelines of PRISMA .Based on the PICO criteria, a search strategy was developed and an electronic search was conducted. The PICO question was formulated as follows: What are the current clinical applications and diagnostic performance of AI in the field of prosthodontics?A systematic electronic search of PubMed MEDLINE, EMBASE, and CENTRAL was performed for English-language publications; in addition, Google Scholar was reviewed. Search syntax was categorized into population, intervention, comparison, and outcome (PICO). Each category was assembled from a combination of Medical Subject Headings (MeSH Terms) as well as free-text words in simple or multiple conjunctions: ((Prosthodontics [Mesh]) OR (prosthetic treatment) OR (reconstructive therapy)) AND OR ) .Additional manual searches of the bibliographies of all full-text articles and related reviews selected from the electronic search were also performed. Furthermore, manual searching was conducted in the following journals: Journal of Prosthodontic Research, Journal of Prosthetic Dentistry, Clinical Oral Implants Research, International Journal of Oral Maxillofacial Implants, Clinical Implant Dentistry and Related Research, Implant Dentistry, and Journal of Implantology.Studies at all levels of evidence, except expert opinion;Articles published in English;Articles published in the last 5 years (up to 30 June 2021).Inclusion criteria for the studies were defined as follows:Review articles, letter to editors and case reports involving less than 5 cases;Animal studies;Full-text not available/accessible.Exclusion criteria for the studies were defined as follows:Two reviewers (S.B. and T.J.) independently screened the titles and abstracts that were identified in the searches according to the defined inclusion and exclusion criteria. If sufficient information could not be extracted from titles and abstracts, the full text was consulted. The full texts of potentially relevant articles were obtained and reviewed in detail by both reviewers, from which the final list of articles was selected for further analysis. Disagreements were resolved by discussion.Author(s), year of publication, country, study design;Total number of patients/datasets;Training/validation datasets;Test datasets;Aim of the study;AI application; andOutcome.The following information was collected from selected articles:http://www.ohri.ca/programs/clinical_epidemiology/oxford.asp (Accessed on 7 September 2021)) to assess the quality of the studies ;Not a study in the field of AI application in prosthodontics (n = 3);Not a clinical study (n = 1);Full text not available (n = 1).Missing information on AI technology .n = 7). Although automated detection of caries has been investigated in AI dental imaging diagnostics a few years ago, the use of AI technology in prosthodontics is (still) rare. Prosthodontics itself is a diverse and complex area of dental medicine and one that may benefit from the routine application of AI technologies. Long-term success relies on good prognosis of abutment teeth (and/or implants) in all facets of periodontal, endodontic, operative and reconstructive principles, and include patient-specific factors, such as load situation, personal and medical issues, and supportive care [The overall number of eligible studies investigating AI applications in prosthodontics was relatively low dentists in choosing appropriate removable prosthetic options . Such suThe combination of AI technologies in the field of prosthodontics could lead to a wide variety of novel options, such as AI systems for generating occlusal surface design for crowns accounting for existing intraoral wear facets, as automatic set-up designers for complete dentures, for determining the emergence profile in implantology, or in automatic framework designs for removable partial dentures . FinallyIn principle, there are no limitations to using the power of AI in prosthodontics. In many cases, however, it is (unfortunately) financial factors that trigger the development and standard implementation of new AI technologies in the most economically profitable areas\u2014and tend to prevent interesting dental applications because a market appears too small for the dental industry. Nevertheless, future developments and research on AI can be eagerly awaited.Although this seems to be very promising, the obstacles of AI systems should not be ignored. Based on this systematic literature search, the identified trials must be seen as pilot studies and experimental, and the technologies used in these studies are not yet suitable for everyday clinical routine in the focus of prosthodontics. At the moment, AI is mainly used in undergraduate dental education and for academic research. Improvements in the technology and user interfaces is needed before the techniques can be implemented into routine dental practice. Some intermediate steps still need to be developed to make AI attractive and helpful for its routine implementation. Beyond the technical possibilities, the cost\u2013benefit ratio and ethical aspects of the use of patient-specific data also need to be critically examined in future research on AI technology in (reconstructive) dentistry .While the number of studies reporting the use of AI in prosthodontics identified in this systematic review was relatively low (inclusion of seven out of sixteen full-texts), these studies reflect an honest overview of the latest developments in AI focusing on diagnostics, predictive measures, classification, and identification tools. Prosthodontics is the dental discipline with the greatest variance in terms of diagnostics and, in particular, treatment options. Therefore, it does not seem surprising that the results of this systematic review are comparably diverse and heterogeneous.In addition, dentistry is (still) lagging behind medicine in terms of routine use of AI technology. Nevertheless, AI applications in prosthodontics have the potential to open up a wide range of opportunities for clinicians and patients, and could be used as a supplementary future basic tool for collecting, processing, and organizing patient-related datasets to provide patient-centered, individualized, and personalized treatment. Possible applications of AI algorithms are very diverse in prosthodontics and one can eagerly await further research foci and developments.The step-by-step implementation of digital applications (in dentistry) is linked to the necessary technical development and is dependent on the flexibility of the users in everyday life. The willingness to learn new treatment protocols and to trust computerized applications has been proven as a strong negative driver for dentists . In addiA critical topic and crucial factor for the successful rehabilitation of complex prosthetic cases is the correct clinical definition of vertical and horizontal maxillo-mandibular relationships. AI technology could be used for automatic registering of jaw relationships based on radiological landmarks in cone-beam computed tomography. In this context, the configuration of virtual dental articulators could be synchronized with the radiological situation to simulate individual patient movements for treatment simulation and final fabrication of prosthetic reconstructions.The use of AI technologies in prosthodontics is conceivable in many ways (and absolutely desirable) from the clinicians\u2019 point of view, but not least the demand and the economic efficiency will decide whether the MedTech industry will push AI in prosthodontics as fast and to what extent."}
+{"text": "ABSTRACT IMPACT: Using network analysis and a systems science lens, UTMB\u2019s Institute for Translational Sciences is able to quantify the evolution of REACH (its Community-Campus Partnership) as measured by the creation of new partnerships among member entities, promoting the translation and sharing of ideas and resources, and formalization of relationships among members. OBJECTIVES/GOALS: o Present how network analysis and systems science can inform evaluation of community-campus partnerships o Describe results from our experience with evaluating the REACH coalition o Summarize lessons-learned and likely improvements we are considering for our methodology METHODS/STUDY POPULATION: In 2016, we administered a network survey to core members of the Research, Education, and Community Health (REACH) coalition. The survey captured attributes about each organization, including size, populations served, etc. The survey also captured data on the relationships among these organizations, including joint meeting attendance, joint event planning, shared tangible resources, shared information, and formal legal agreements between organizations. These data were analyzed using network analysis methods. The survey was again repeated in 2018, and comparisons were made to evaluate how the network structure had evolved from 2016 to 2018. RESULTS/ANTICIPATED RESULTS: Joint meeting attendance was high in both 2016 and 2018; however, there was evidence of increased sharing of information and tangible resources in 2018. We also observed an increase in joint event planning among partnering agencies. Most strikingly, we observed that the number of formalized agreements between agencies more than doubled between 2016 and 2018. By measuring the evolution of our network of partners, we are able to document the evolution of a community-campus partnership over time. DISCUSSION/SIGNIFICANCE OF FINDINGS: Over the course of 2 years, the coalition signaled an increase in deeper collaborations beyond simply meeting together. The use of network analysis demonstrated utility and provided another dimension for evaluating the development of teams, partnerships, and coalitions."}
+{"text": "Teaching points: Gastroduodenal intussusception is an infrequent cause of abdominal pain in children, for which a lead-point is nearly ubiquitous, which imposes endoscopic reduction as the first line of treatment. Figure 1a), in the axial plane at the level of the stomach body , and the pancreatic head showed multiple enhancing gastric polyps (arrows), along with intussusception (arrowheads) of the stomach within the proximal portion of the duodenum. There was no compromise of the gastroduodenal wall enhancement. The CT findings were confirmed on subsequent gastroduodenal endoscopy carried out for air insufflation, resulting in successful reduction of the intussusception.A 16-year-old girl presented in the emergency department afebrile with hypogastric abdominal pain, nausea, and vomiting. The patient was known to have Peutz-Jeghers syndrome (PJS) with multiple hamartomatous gastrointestinal polyps since the histological analysis of a 50 cm small bowel resection, which occurred at the age of four in the course of acute ileo-ileal intussusception. A contrast-enhanced abdominal computed tomography (CT) on coronal curved reformation through the stomach and duodenal axes resulting in gastroduodenal and ileo-ileal intussusception, and mucocutaneous pigmentation predominantly on the lips and around the mouth. The diagnosis of PJS is based on histological analysis of the polyps, family history of PJS, or mucocutaneous lesions [Patients with PJS present with recurrent and variable degrees of abdominal pain due to intestinal occlusion, infarction, or gastrointestinal bleeding caused by the endoluminal polyps . Our patUltrasound is the first modality of choice when assessing abdominal pain in PJS . In our As 95% of intussusception occurs in the small bowel, gastroduodenal intussusception is an extremely rare occurrence, even in patients with PJS . An unde"}
+{"text": "The overall aim of ICare was to establish a novel, comprehensive and effective model of mental health service delivery. ICare encompasses mental health promotion, risk detection, disease and relapse prevention of common mental health disorders (CMHD) and guided self-help for eating disorder (ED) patients as well as caregivers of people with an ED delivered through a common online platform.This supplement consists of two parts. The first part summarizes current research on Internet-based treatment and prevention for some of the most CMHD. The second part of the supplement is dedicated to the ICare Stakeholder Survey.Part I\u2014Evidence: As an introduction to the topic, Taylor et al. present an overview of existing systematic reviews and meta-analyses on Internet-based interventions for the treatment of depression, anxiety, EDs and substance abuse. The authors identified important research gaps including the need for more evidence on how to increase engagement, on more tailored interventions for various populations and on interventions delivered by mobile phones. The next article by Buntrock et al. summarizes the evidence on economic evaluations of Internet- and mobile-based interventions for substance use disorders. The results regarding cost-effectiveness of these interventions are promising. However, the authors emphasize that more economic evaluations are needed. The article of D\u00edaz-Garc\u00eda et al. presents a systematic review on the theoretical adequacy, methodological quality and efficacy of Internet-based interventions to promote well-being and resilience. They found a tendency for larger effects of programmes with a clear assessment theory, which underlines the need of strong theoretical foundation of Internet-based interventions. Finally, Zeiler et al. and Nacke et al. present systematic reviews evaluating reach, adoption, implementation and maintenance of Internet-based interventions to prevent EDs in adolescents and adults, respectively. Both reviews revealed a lack of reporting of external validity indicators. Overall, the results of the articles in the first part of this supplement show that Internet-based interventions are feasible and effective adjuncts to face-to-face interventions in order to deal with the increased need for mental health promotion and treatment. However, they identified also a range of research gaps, the need for better theoretical foundation and the need for higher reporting rates for external validity indicators in research studies.Part II\u2014ICare Stakeholder Survey: In their introductory paper on the stakeholder survey, Nitsch et al. describe in detail the development of the overall design of the ICare stakeholder survey which followed a mixed-methods approach to collect data from a range of different stakeholders in the healthcare, university and school settings. The next three papers deal with the results of the stakeholder survey in the healthcare, the university and the school setting, respectively. The first of three articles by Kuso et al. presents stakeholders\u2019 perspectives regarding Internet-based interventions to prevent mental health disorders in adults implemented into healthcare systems in Austria, Germany, Switzerland and Spain. Irish et al. describe the results of the stakeholder survey regarding Internet-based interventions to prevent mental health disorders in students implemented in universities in Austria, Germany, UK, Spain, Switzerland and The Netherlands. Zeiler et al. report on the perspectives of key stakeholders in Austria and Spain on Internet-based interventions to prevent mental health problems implemented in schools. The last two articles shift the focus to guided self-help interventions in the context of the treatment of EDs, targeted either to individuals who currently meet diagnostic criteria and are on a waitlist for treatment(to bridge waiting time), or to carers of patients currently in treatment. The results are presented country-specific. The perspectives of stakeholders\u2019 views on self-help programmes for EDs patients and caregivers implemented in the healthcare system in Germany are presented by Schmidt-Hantke et al. and for the UK by Yim et al.To the best of our knowledge, this was the first comprehensive stakeholder survey focusing on Internet-based mental illness prevention which was conducted concurrently in several countries and various settings. Overall, 36 focus groups with representatives from the target groups of ICare interventions and 75 interviews with ED patients and carers and policymakers across the three settings and participating countries were conducted. Furthermore, 423 potential facilitators/enablers filled in an online questionnaire. The findings are in accordance with the existing literature regarding barriers and facilitators for dissemination and implementation of Internet-based treatment in the healthcare system,Following the outbreak of the Covid-19 pandemic, a significant increase in the prevalence of mental health disorders is to be expected,This project has received funding from the European Union\u2019s Horizon 2020 research and innovation programme under grant agreement No. 634757.Conflicts of interest: None declared."}
+{"text": "Rhizobium-legume symbiosis. It is characterized by inverted tip growth of the plant cell wall, resulting in a tunnel that allows invasion of host cells by bacteria during the formation of the nitrogen-fixing root nodule. Regulation of the plant-microbial interface is essential for infection thread growth. This involves targeted deposition of the cell wall and extracellular matrix and tight control of cell wall remodeling. This review describes the potential role of different actors such as transcription factors, receptors, and enzymes in the rearrangement of the plant-microbial interface and control of polar infection thread growth. It also focuses on the composition of the main polymers of the infection thread wall and matrix and the participation of reactive oxygen species (ROS) in the development of the infection thread. Mutant analysis has helped to gain insight into the development of host defense reactions. The available data raise many new questions about the structure, function, and development of infection threads.The intracellular infection thread initiated in a root hair cell is a unique structure associated with Frankia Pssym33 gad walls B in the sym33-3) . In somesym33-3) . There wP. sativum symbiotically-defective mutant RisFixV (Pssym42), callose deposition (Rhizobium infection as part of the defense response. Another striking feature of RisFixV (Pssym42) was the encapsulation of ineffective bacteroids with de-esterified HG, as detected by JIM5 immunolabelling. This mutant demonstrates unique defense reactions for symbiotic mutants [The deposition of callose in plant cell walls is an important aspect of many processes associated with developmental physiology, pathogenesis, or stress. In the position C,D was a mutants .The process of tissue and cellular infection is accompanied by the differentiation of plant cells originating from the apical meristem. The differentiation of host cells in the nodule cortex is associated with the release of bacteria into the plant cell as organelle-like structures termed symbiosomes, which are still bounded by a plant membrane that is structurally equivalent to the plasma membrane .The exact mechanism triggering the transition of rhizobia from the extracellular space (apoplast) to intracellular existence within organelle-like symbiosomes surrounded by a plant membrane is not yet known, but it is associated with further remodeling of the host cell wall and cell membrane. In indeterminate nodules of temperate legumes, the release of rhizobia occurs from infection droplets that lack a covering of cell wall material ,236,259.Phaseolus sp., bacterial release occurs at the tips of short intracellular infection threads [Lupinus angustifolius L. showed that rhizobia bud off from infection threads and are enclosed in membranes of plant origin [Sometimes, for example, in threads . A studyt origin . The relt origin .Presumably, the release of bacteria occurs due to the absence of a cell wall in the infection droplet and the possibility of close contact between the plasma membranes of the plant and rhizobia ,197,263.BacA controls the modification of the bacterial cell wall, including the development of Lipid -A derivatives with long-chain fatty acids [On the part of rhizobia, the gene ty acids . During ty acids ,268, whity acids . Evidencty acids .Senescence of nodule tissue is the final stage of symbiosis. There is autolysis of infected cells, and the nutrients stored in the nodules are recycled by the host plant . ProximaThe extent of nodulation and the efficiency of symbiotic nitrogen fixation can be influenced by environmental conditions, such as temperature, humidity, aeration, pH, salinity, soil structure, imbalance of nutrients in the soil . Other factors affecting nodulation include diseases and insects, as well as anthropogenic influences in the form of fertilization, soil and water pollution with pesticides, chemicals, and heavy metal ions ,276. EnvMost plants have two types of tip-growing cells: Pollen tubes and root hairs. Infection threads represent a third type of tip growth for the deposition of cell wall material. The infection thread is an inwardly growing tube in which polar growth is topologically inverted relative to the tip growth of root hairs or pollen tubes. The following model summarizRhizobium bacteria and altered transcriptional activity in the host cell nucleus. Among other things, this leads to the synthesis and deposition of new proteins in the microdomains of the plasma membrane of the infection thread. Vesicles derived from the ER and GA fuse with the plasma membrane at the tip of the infection thread, releasing their contents into the wall and extracellular matrix. This process is apparently controlled by a range of proteins, including: PI3K, GmVAMP721d, EXO7OH4, PvNod22. Targeted secretion from vesicles is the driving force behind the growth of the infection thread. Glycoproteins, proteins, and polysaccharide components of the infection thread matrix include the following: AGPEs, HRGPs, ENOD2/11, LOX, DAO and RG-II. In addition, H2O2 probably plays a role in cross-linking AGPEs and changing the biophysical properties of the infection thread matrix. Vesicles derived from the GA also contain cellulose synthases, xyloglucan and pectins . HG is synthesized in a highly esterified methyl form and may be transported along with PME/PMEI complexes (pectin methylesterase/pectin methylesterase inhibitor). All these components and other cell wall remodeling enzymes are released into the apoplast.The initiation and growth of the infection thread are the consequence of signal exchange with the infecting 2+ ions, thus increasing its rigidity. RG-I is present in the infection thread wall, and RG-II is also present in the form of dimers with the borate ion. The wall also contains extensins, AGPs, and expansins. Additionally, callose and phenolic compounds such as suberin can accumulate as part of defense reactions in response to an ineffective symbiosis.In the nascent wall of the infection thread, cellulose synthases are incorporated into the membrane and deposit the crystalline cellulose. At this stage, highly methyl-esterified HG is the major component of the infection thread wall. At its mature stage, the main polysaccharide components are: cellulose, xyloglucan, and HG with varying degrees of methyl-esterification. HG having a low level of methyl-esterification binds with CaMany enzymes are involved in the modification and degradation of the cell wall during the growth of an infection thread and the formation of an infection droplet. These include: MsPG3, LjNPL, MtPER, and endo-\u03b2-1,4-glucanases. Polar growth of the infection thread is mediated by the actin cytoskeleton, and the alignment of microtubules creates a constraining tunnel for infection thread growth. Within the lumen, bacterial polysaccharides play an important role: EPS, KPS, LPS, cyclic \u03b2-glucan, RosR, and Rhizobia-induced peroxidases (Rip1-10).Following the release of bacterial cells from the infection droplet, several plant proteins are associated with the symbiosomal membrane. These include: Lectin-like glycoprotein (PsNLEC1), synaptotagmin (MtSyt1/2/3), syntaxin (MtSYP132), inositol-containing phospholipid (JIM18 antigen), and AGP with a GPI anchor (JIM1 antigen). Within the symbiosome compartment, rhizobial cells differentiate into nitrogen-fixing bacteroids: They lose their exopolysaccharide capsule, and the structure Lipid-A and O-antigen groups of LPS becomes modified, partly as a result of the action of the protein BacA.From an evolutionary perspective, the nature of the legume-rhizobial symbiotic interface has become progressively more intimate and complex. On the one hand, it incorporates novel aspects of cellular morphogenesis, in particular the infection thread and the symbiosome compartments. On the other hand, there is a precise system for suppression of host defense responses. As with the other forms of tip-growth observed in root hair cells and pollen tubes, growth of the infection thread is due to the targeted deposition of cell wall and cell membrane material at the apex. However, there is an important distinction. Whereas the extension of root hairs and pollen tubes is driven by cell turgor, the driving force behind the growth of an infection thread is the synthesis and directed secretion of the extracellular matrix material into the lumen of the infection thread and the division of bacteria inside. Polar growth of the infection thread requires a high degree of coordination between many cellular and extracellular processes, including calcium dynamics, apoplastic reactive oxygen species, the cytoskeleton, and vesicular transport.The cell wall that surrounds the infection thread is a dynamic structure that performs both structural and defense functions. While the localization and distribution of the main pectins of the infection thread wall have been recently studied , the rolExperiments designed to investigate these questions will provide new insights into how an infection thread grows. Furthermore, these studies will help to elucidate the more general patterns of plant cell wall development during growth and differentiation. New probes targeting cell wall components will permit a more detailed analysis of the biochemistry and biomechanics of the cell wall of the infection thread. A major problem in studying the infection thread is that it is a dynamic and continually changing system. Its structure at an early stage in a root hair or root cortical cell may be very different from that in a host cell embedded deep in the tissue of a maturing nodule. These differences could affect the remodelling of the cell wall . The chaRhizobium is the relationship between intercellular and intracellular modes of infection. An interesting model has recently been developed based on interaction of L. japonicus with different strains capable of infecting the host plant either via intracellular or via intercellular modes [Rhizobium infection and endomycorrhizal symbiosis [One of the intriguing questions regarding the infection of legume tissues by ar modes . Furtherar modes and the ymbiosis ,283 clea"}
+{"text": "The need for widely usable bioactive lipids and natural antioxidants continues to grow. Methods used for oil extraction may alter minor constituents that have functional properties and contribute to oil stability. In recent years, consumer demand for cold pressed oils as an alternative to conventional products has increased. This is probably due to the perception of these oils as natural, nutritional, and safe food products with better nutritive and healthy properties.Cold pressed oils are easy to obtain. The process does not involve heat treatment or solvent extraction. Therefore, the cold pressing technique results in a product that is free of organic solvents. Mechanical pressing does not require much energy and meets well the needs of small- and medium-sized companies. Cold pressed oils are promoted as specialty oils and are usually available on the market at a higher price. Cold pressed oil products are reported to contain pro- and anti-oxidative compounds.In recent years, consumption of cold pressed oils has been increasing. The international market already includes numerous cold pressed oils . However, due to high prices of cold pressed oils, they are exposed to adulteration with cheaper and lower-quality refined oils of vegetal origin. Several strategies have been applied to monitor and control the authenticity of cold pressed oils for reasons of both human health and demand, as well as concern for controlling product quality in industrial laboratories. Among these, new frontiers are open toward the use of rapid analytical methods and chemometrics.This Research Topic aims to report on recent advances in cold pressed oils as specialty oils, mainly focusing on their composition, physicochemical characteristics, organoleptic attributes, nutritional quality, oxidative stability, food applications, and functional and health-promoting traits.The main explored topics are as follows: (i) evaluation procedures and quality attributes , yield, quality parameter, and physicochemical properties, sensory and color attributes; (ii) compounds of nutritional and nutraceutical characters in cold pressed oils; (iii) oxidative stability; (iv) impact of cold technologies: extracting and processing parameters; (v) storage and shelf life evaluation; (vi) adulteration and authenticity; (vii) cold pressed cake as functional and value-added product; (viii) consumer perception; (ix) health benefits; (x) safety aspects and potential adverse reaction evaluations; (xi) conventional and innovative fields of applications; (xii) food composition database and dedicated databases; (xiii) regulatory challenges; and (xiv) current and future applications and research needs.Fratianni et al. described the fatty acid composition, antioxidant, and in vitro anti-inflammatory activity of five cold pressed Prunus seed oils and their anti-biofilm effect on pathogenic bacteria. Another example is given by Wang et al. who compared the antioxidant and antibacterial activities of camellia oil from Hainan with camellia oil from Guangxi, olive oil, and peanut oil. Gharby and Charrouf reviewed the chemical composition, extraction process, and quality control of argan oil.Tsao et al. on the application of OXITEST for the prediction of shelf-lives of selected cold pressed oils. Results first revealed that the UFA (Unsaturated Fatty Acid) portion was partially correlated with the shelf-lives of selected expeller-pressed seed oils as estimated by the OXITEST. Benincasa et al. reported the identification of phenolic compounds in spray-dried olive mill wastewater; the study showed that the use of dehumidified air as a drying medium, with the addition of maltodextrin, results an effective way to obtain a phenol-rich powder.It is worth mentioning the study of All the authors listed made a substantial, direct, and intellectual contribution to the article and approved it for publication.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest.All claims expressed in this article are solely those of the authors and do not necessarily represent those of their affiliated organizations, or those of the publisher, the editors and the reviewers. Any product that may be evaluated in this article, or claim that may be made by its manufacturer, is not guaranteed or endorsed by the publisher."}
+{"text": "Pneumonia is the leading cause of under-five child deaths globally and in Bangladesh. Hypoxaemia or low (<90%) oxygen concentration in the arterial blood is one of the strongest predictors of child mortality from pneumonia and other acute respiratory infections. Since 2014, the World Health Organization recommends using pulse oximetry devices in Integrated Management of Childhood Illness (IMCI) services , but it was not routinely used in most health facilities in Bangladesh until 2018. This paper describes the stakeholder engagement process embedded in an implementation research study to influence national policy and programmes to introduce pulse oximetry in routine IMCI services in Bangladesh.Based on literature review and expert consultations, we developed a conceptual framework, which guided the planning and implementation of a 4-step stakeholder engagement process. Desk review, key informant interviews, consultative workshops and onsite demonstration were the key methods to involve and engage a wide range of stakeholders. In the first step, a comprehensive desk review and key informant interviews were conducted to identify stakeholder organisations and scored them based on their power and interest levels regarding IMCI implementation in Bangladesh. In the second step, two national level, two district level and five sub-district level sensitisation workshops were organised to orient all stakeholder organisations having high power or high interest regarding the importance of using pulse oximetry for pneumonia assessment and classification. In the third step, national and district level high power-high interest stakeholder organisations were involved in developing a joint action plan for introducing pulse oximetry in routine IMCI services. In the fourth step, led by a formal working group under the leadership of the Ministry of Health, we updated the national IMCI implementation package, including all guidelines, training manuals, services registers and referral forms in English and Bangla. Subsequently, we demonstrated its use in real-life settings involving various levels of stakeholders and worked alongside the government leaders towards carefully resuming activities despite the COVID-19 pandemic.Our engagement process contributed to the national decision to introduce pulse oximetry in routine child health services and update the national IMCI implementation package demonstrating country ownership, government leadership and multi-partner involvement, which are steppingstones towards scalability and sustainability. However, our experience clearly delineates that stakeholder engagement is a context-driven, time-consuming, resource-intensive, iterative, mercurial process that demands meticulous planning, prioritisation, inclusiveness, and adaptability. It is also influenced by the expertise, experience and positionality of the facilitating organization.Our experience has demonstrated the value and potential of the approach that we adopted for stakeholder engagement. However, the approach needs to be conceptualised coupled with the allocation of adequate resources and time commitment to implement it effectively. Pneumonia is the leading cause of childhood mortality, accounting for around 16% of 5.2 million under-five deaths globally . In addi2) [Hypoxaemia, defined by low (<90%) oxygen saturation in the arterial blood, is common among children with pneumonia and is one of the strongest predictors of mortality caused by pneumonia and other lower acute respiratory tract infections -12. Earl2) . In high2) . However2) -16.Bangladesh was one of the sites in the Multi-Country Evaluation of IMCI coordinated by WHO . Based oEngaging a wide range of stakeholders is a key step for ensuring the relevance of research studies and improving the utilisation of research findings in local health systems settings ,25. As aStep-1:Identification and prioritisation of stakeholders for subsequent sensitisation, involvement and engagement. Step-2:Sensitising the majority of stakeholders regarding the context, rationale, importance and process of the proposed research to build interest, confidence and trust. Step-3:Involving key stakeholders in planning, ensuring agreement regarding the implementation process and solidifying commitments for shared responsibilities. Step-4:Engaging the stakeholders at every stage of design, development, implementation and evaluation.Stakeholders are individuals, organisations, or communities that can influence or are affected by a project's process and outcomes, research or policy . StakehoIn Bangladesh, health services are provided by two directorates under the Ministry of Health and Family Welfare. They are the Directorate General of Health Services and Directorate General of Family Planning. Each directorate has a dedicated programme for child health, which manages the child health services, including IMCI services in Bangladesh. In addition, several other programmes are also related to child health services. Besides the government programmes, several development partners and professional societies support the Government of Bangladesh in managing and implementing child health services, including IMCI services. The National Newborn Health and IMCI Programme under the Directorate General of Health Services of the Ministry of Health and Family Welfare is responsible for coordinating with all partners and ensuring the delivery of IMCI services in Bangladesh.First, comprehensive desk review was conducted on IMCI related documents and eight key informant interviews to identify national and district level stakeholders related to IMCI implementation in Bangladesh , district level family planning manager , all (five) sub-district health managers and all sub-district level family planning managers . In addition, managers from the National Newborn Health and IMCI Programme attended the event. They presented the importance of identifying hypoxaemia in pneumonia assessment and classification and discussed the operational feasibility of introducing pulse oximetry in real-life settings.Subsequently, we organised five such sensitisation workshops in each sub-district, with 14 participants in each workshop, including IMCI service providers such as doctors, nurses and paramedics and their respective supervisors. For each sub-district level workshop, the respective sub-district health managers gave the keynote presentation.Lastly, 71 enlisted national and local level NGOs actively working in Kushtia district were identified, of which 21 had strong community acceptance and health-related activities. We organised another sensitisation workshop with representatives from these 21 organisations. The district health manager gave the keynote presentation, and all the sub-district managers contributed to the subsequent discussions. All participating NGO partners agreed to raise awareness regarding pneumonia and hypoxaemia and promote appropriate care-seeking practices in the local communities.Like the previous sensitisation phase, we organised workshops at the national, district, and sub-district levels to involve stakeholder organisations representing the high power and high-interest group, discuss a strategy, and develop a mutually agreed plan for introducing pulse oximetry in routine IMCI services of Bangladesh. At the national level, the Programme Manager of the National Newborn Health and IMCI Programme chaired the workshop. All the participants discussed and developed a national action plan to introduce pulse oximetry in routine IMCI services in Bangladesh. The roles of all key stakeholder organisations were clarified and defined in this comprehensive action plan. The National Newborn Health and IMCI Programme agreed to lead this process, and WHO, UNICEF, Save the Children and icddr,b committed to providing technical assistance and implementation support. The National Newborn Health and IMCI Programme also decided to update the National IMCI Implementation Package based on the updated WHO recommendations, including introducing pulse oximetry in pneumonia assessment and classification. This National IMCI Implementation Package consists of guidelines, registers, referral forms, reporting forms, job aids, monitoring checklist, list of essential equipment, medicine and logistics and training manuals. It was also decided that the development partners will be initially responsible for the procurement and supply of pulse oximetry devices in some demonstration facilities. The National Newborn Health and IMCI Programme declared to include pulse oximeters in the national procurement plan if the demonstration is successful.A small working group was formed with technical experts from each stakeholder organisation with high power-high interest to update the implementation package. The small working group recommended assessing the feasibility of implementing the updated implementation package (including pulse oximetry) through an implementation research study. icddr,b volunteered to lead this implementation research study in Kushtia district. The working group members identified the evidence gaps and finalised key research questions for the implementation research through a consultative process. Further, at this workshop, it was also decided that the experience gathered through this implementation research would assist the Government of Bangladesh in taking evidence-based decisions for a national scale-up.A planning workshop was organised in Kushtia district headquarter, which was chaired by the district health manager and attended by all sub-district health managers. At this workshop, the participating stakeholders decided that the implementation research would include all types of health facilities providing IMCI services. Hence, the Kushtia District Hospital, all five Upazila Health Complexes and one Union Health and Family Welfare Centre from each sub-district were selected as demonstration sites for the implementation research study. A district-level action plan was jointly developed outlining the roles of different district level stakeholders and the key activities, including training, distribution of pulse oximetry device, revised IMCI registers, referral forms and reporting forms, supportive supervision visits and assessments. Subsequently, a planning workshop was organised in each sub-district with the supervisors of IMCI service providers. The respective sub-district managers chaired this event and shared guidance on developing a sub-district level implementation plan for introducing pulse oximetry. A preparatory and planning meeting followed in each demonstration facility with IMCI service providers, respective supervisors, and facility managers, leading to the finalisation of a facility-specific implementation plan (with a timeline) to introduce pulse oximetry minimally impacting their routine services and existing practices.In this stage, National Newborn Health and IMCI Programme and icddr,b worked closely with the high power-high interest stakeholders on the following steps to update the IMCI implementation package and implement it in the demonstration facilities in real-life settings.Formation of a working group: The Line Director of Maternal, Newborn, Child and Adolescent Health Programme of the Ministry of Health and Family Welfare formed a small working group with 13 IMCI experts representing the five high power-high interest groups to review and update the National IMCI Implementation Package and shared their feedback.Afterwards, the updated training package was pre-tested among IMCI service providers, including doctors, nurses, and paramedics. The National Newborn Health and IMCI Programme organised the training, the national master trainers facilitated the sessions, and icddr,b conducted assessment and evaluations. A total of 40 doctors, 91 nurses and 67 paramedics received training in 10 batches. We collected feedback from the IMCI providers on the National IMCI Implementation Package, including the training manuals, registers, job aids and reporting forms. Finalisation of the National IMCI Implementation Package: Following the training workshops with master trainers and IMCI service providers, the working group updated the national implementation package based on their feedback. Then National Newborn Technical Working Committee for Newborn Health and the National IMCI Technical Working Committee, the highest-level technical committees regarding newborn and child health in Bangladesh, reviewed the updated package and shared feedback. The National IMCI Implementation Package was finalised after incorporating their feedback and inputs.Incorporation of the use of pulse oximetry and hypoxaemia in the national health service records: Over a series of six consultative workshops, the National Newborn Health and IMCI Programme convinced the Management Information System (MIS) department of the Directorate General of Health Services to update the national IMCI dataset based on the updated monthly reporting form (including updated pneumonia classification and hypoxaemia status). icddr,b provided technical assistant and secretarial support in organising these events.Involving national-level stakeholders in the implementation research: A co-design and co-creation approach was adopted to develop the implementation research protocol. icddr,b led the process and engaged the National Newborn Health and IMCI Programme and other stakeholder organisations representing the high-power and high-interest group to prioritise research questions and finalise the research design, data collection methods, and data collection instruments. Additionally, one of the Deputy Programme Managers of the National Newborn Health and IMCI Programme joined the research team as a Co-Investigator.Local-level involvement in the implementation research: A district advisory committee was formed to guide the implementation research study in Kushtia-district. The district health manager chaired the committee, and all the sub-district level health managers were included as members. First, the advisory committee was oriented regarding the research questions and study design. Later, the committee developed a macro plan to introduce pulse oximetry in the selected facilities and conduct quantitative and qualitative assessments as outlined in the research protocol. Subsequently, a planning meeting was organised in each facility with respective IMCI service providers and their supervisors to review the macro plan and develop a micro plan with a timeline. A dissemination meeting was organised with the district advisory committee after the baseline and each round of data collection. icddr,b provided technical assistance and secretarial support throughout the process.Resuming study activities during the COVID-19 pandemic: The Government of Bangladesh declared a nationwide lockdown in the last week of March 2020 to prevent the surge of COVID-19 infections and deaths. Unfortunately, all the implementation research-related activities were suspended due to the strict restrictions imposed during the lockdown period. In August 2020, the government started to reduce restrictions. The National Newborn Health and IMCI Programme issued an official order to resume the research activities with appropriate infection prevention and control measures. A series of meetings were organised in Kushtia-district with the district health manager and sub-district health managers to resume the suspended activities and revise the implementation plan (both macro plan and micro plan) accordingly.Desk Review: A total of 37 documents with approximately 2507 pages were reviewed to identify the stakeholders and update the National IMCI Implementation Package. It required around 120 person-days of effort by medical graduates with basic IMCI training.Resource person interview: A total of eight interviews and a group discussion was organised with IMCI experts to identify and prioritise the stakeholder organisations, requiring ten person-hours for interviewing and an additional 30 person-hours for transcribing and analysis.Document development, editing and formatting: The National IMCI Implementation Package containing 24 documents with 1685 pages were updated, which required approximately 140 person-days of reviewing, editing and formatting to prepare the final versions.Workshops: At the national level, 30 workshops were organised to sensitise (step 2), involve (step 3) and engage (step 4) the stakeholders, requiring approximately 416 person-days of involvement by IMCI experts and stakeholders. In addition, about 42 person-days of investment was needed from icddr,b for taking preparation and organising the events. Furthermore, around 30 person-days was required to prepare and approve the meeting notes for official documentation.At the district level, 45 meetings were organised, requiring approximately 183 person-days of involvement by IMCI service providers, 86 person-days by their clinical supervisors, and 101 person-days by district, sub-district and facility managers.Travel and transport: To sensitise (step 2), involve (step 3) and engage (step 4) stakeholders at the district level, extensive travel and transport were required. A total of 97 person-days of travel and transportation were needed from central-level staff and 312 person-days from local-level staff to organise and participate in the stakeholder engagement related eventsStep 1-Identify: This process began in October 2018 and continued till December 2018.Step 2- Sensitise: At the national level, the sensitisation process started in January 2019 and continued till the end of that year, while at the district level, the sensitisation activities went on from October 2019 till February 2020.Step-3-Involve: At the national level, the involvement process took place in June 2019 and at the district level, the process took place in March 2020.Step 4-Engage: The national-level engagement process started in June 2019 and ended in January 2021. The district-level engagement process began in December 2020 and ended in July 2021.2 assessment for improving pneumonia assessment, classification, and management. As a result, the Government of Bangladesh decided to introduce pulse oximetry in routine IMCI services in Bangladesh.The Government of Bangladesh and all the key stakeholders acknowledged the importance of identifying hypoxaemia through SpOThe National Newborn Health and IMCI Programme formed a national-level working committee with high power-high interest stakeholder organisations related to IMCI implementation in Bangladesh. This high-level working committee updated the National IMCI Implementation package including the chart booklet, register, referral form, reporting form, monitoring checklist and training manuals and incorporated specific recommendations to use pulse oximetry in relevant sections. Further, three hypoxaemia related indicators were included in the national IMCI data set in DHIS2. The Government of Bangladesh trained 4872 IMCI service providers from across the country based on the updated National IMCI Implementation Package.The Government of Bangladesh decided to scale up the use of pulse oximetry in routine IMCI services in a phased manner. As a result, the National Newborn Health and IMCI Programme revised its existing plan and decided to procure pulse oximetry devices for the IMCI corners in approximately 200 Upazila health complexes. In the next phase, the National Newborn Health and IMCI Programme is planning to procure pulse oximetry devices for the remaining of the IMCI corners in the Upazila Health Complexes (approximately 250) and other union-level facilities (approximately 5000). Additionally, UNICEF has committed to support the Government of Bangladesh\u2019s national scale-up endeavour by introducing pulse oximetry in eight districts. icddr,b has committed to support in two districts, and Save the Children in one district. Moreover, WHO has supported the government by printing the updated IMCI registers for all facilities..We present the key learnings from the stakeholder engagement activities based on the SWOT analysis approach ,37. The Context-driven: Our implementation research study primarily aimed to influence the national policy and programmes. Based on the context and prior experience, we adopted a framework with four steps for stakeholder engagement and prioritised only the high power-high interest stakeholder organisations. The framework guided the whole process and all related activities, and the prioritisation helped maximise the use of limited resources. Therefore, any implementation research study aiming to engage stakeholders need to adapt and modify the framework based on the objective and context.Country ownership, government leadership and multi-partner involvement: The Government of Bangladesh demonstrated leadership in forming and leading the national working group, chairing the workshops, developing the strategic plans, and bringing multiple partners together for building national consensus on introducing pulse oximetry in routine IMCI services in Bangladesh. All the major non-government organisations and development partners related to IMCI implementation in Bangladesh committed to using the updated National IMCI Implementation Package in their respective health system strengthening initiatives.Expertise, experience and relationships of the facilitating organisation: The technical expertise and experience of icddr,b in the introduction and scale-up of IMCI services in Bangladesh and pre-existing relationships with other high power-high interest stakeholder organisations substantially contributed to the identification, sensitisation, involvement, and engagement of other high power-high interest stakeholder organisations. Moreover, the communication, and organising skills of icddr,b contributed to facilitating the stakeholder engagement process efficiently. Therefore, the positionality of implementing organisations needs to be considered before adopting a particular approach for engaging stakeholders.Time-consuming: It took more than two and a half years to implement the stakeholder engagement related activities and achieve the objective of incorporating the use of pulse oximetry in national policy and programme. Numerous workshops were organised based on the availability of all high power-high interest stakeholders, which was difficult considering their busy schedules, especially during ongoing COVID-19 pandemic. Extensive deskwork and preparations were necessary before organising these workshops, which called for several days or weeks of preparation. Hence, engaging the stakeholders effectively is time-consuming and will require patience and commitment by the facilitating organisation.Resource-intensive: The initial stage involved reviewing a significant number of documents to identify stakeholders and update the National IMCI Implementation Package, which required a substantial amount of person-time involvement of project staff. In addition, organising workshops at national, district and sub-district levels required numerous person-days of involvement from IMCI experts, managers, service providers and project staff. It also required extensive travelling by the project staff. Since stakeholder engagement is a resource-intensive process, it is important to have a planning and specific budgetary allocation for stakeholder engagement at the outset of any project.Iterative: Reviewing, editing, and formatting several lengthy documents were essential for updating the National IMCI Implementation Package. Some of these documents required numerous rounds of editing and formatting to address and incorporate the feedback of all the stakeholders across the national, district and sub-district levels before finalisation. For example, IMCI chart booklet had 23 rounds of iteration and IMCI registers had 19 rounds of iteration before finalisation. Hence, the facilitating organisation need to have dedication and attention to details to effectively steer the stakeholder engagement process.Mercurial: The power-interest matrix of the stakeholders does not stay static and could change at any given time. For example, during the engagement process, one of the stakeholders with high power and low interest unexpectedly turned into a high power-high interest actor and started posing a risk to the process. Therefore, some part of the stakeholder engagement process was adapted based on the agenda of that particular stakeholder. In addition, during the stakeholder engagement process, there can be changes in leadership positions. For example, the National Newborn Health and IMCI Programme manager was changed twice, and the district health manager was changed three times during the engagement process, owing to administrative transfers. It required investing additional time and efforts to sensitise the new stakeholders and garnering their active buy-in to introduce pulse oximetry in routine IMCI services. Hence, stakeholder engagement is an adaptive process and will require flexibility in revising, updating and changing the plan based on the context and circumstances.COVID-19 pandemic- general awareness regarding hypoxaemia: The COVID-19 pandemic has raised awareness among the health care provider and care receiver for using pulse oximetry in measuring the oxygen saturation level and assessing the severity of pneumonia. This opportunity has facilitated the implementation process more easily.COVID-19 Pandemic- lockdown and restrictions: The stakeholder engagement related activities and plans required extensive modification and revision due to the COVID-19 pandemic. During the first lockdown period between March and August 2020, all project-related activities were suspended. The team advocated with the National Newborn Health and IMCI Programme to resume project activities after the COVID-19 related restrictions were eased.Other national and programme priorities: The engagement process and project-related activities were also interrupted by unanticipated events, such as implementing the national Measles-Rubella campaign, which kept the district and sub-district health managers and IMCI service providers occupied during February and March 2021. Therefore, the potential impact of an emerging threat on the overall outcome and timeline of the stakeholder engagement process must be acknowledged and should have the flexibility of modifying the plan to take course corrective measures.Our experience has demonstrated the value and potential of the approach that we adopted for stakeholder engagement. Our engagement process contributed to the national decision to introduce pulse oximetry in routine IMCI services and update the national implementation package, which are steppingstones towards scalability and sustainability. However, our experience also reveals that stakeholder engagement is a context-driven, time-consuming, resource-intensive, iterative, mercurial process that demands planning, prioritisation, inclusiveness and adaptability. It is also influenced by the expertise, experience and positionality of the facilitating organisation. However, the approach needs to be conceptualised coupled with the allocation of adequate resources and time commitment to replicate its impact and implement it effectively in other settings."}
+{"text": "In 2010, the University of Utah Gerontology Interdisciplinary Program first offered GERON 5240/6240: Aging and the Arts. This course was developed to enrich program curricula by addressing a gap in content specific to the arts and humanities. The purpose of this presentation is to focus on identifying the opportunities and challenges experienced teaching this course over the past decade. Opportunities will highlight competency mapping, internal and external partnerships, the benefits of bridging disciplines, and innovation in teaching and problem-solving. Challenges experienced include addressing various needs , tuition differentials, and varying levels of enrollment. A stand-alone course is one method of increasing humanities, arts, and cultural gerontology within curricula. It has the potential of enhancing student interest in gerontology while also demonstrating how the arts and humanities can improve work across disciplines."}
+{"text": "Ukraine has an extensive experience on creating and maintaining National Medical Networks.A variety of examples include:The National Register of the persons suffered from the Chernobyl disaster: Net of the Sanitary and Epidemiological Service of the Ministry of Health.The National Medical Network for monitoring oncology patients: this links Regional Oncology Dispensaries with Institute of Oncology.Ukraine has a membership to \"EuroTransplant\" and National Medical Network in this effort has linked Regional Centres with the National Informational Centre on Transplantation.Regional databases from Regional Venereologic Dispensaries, used for monitoring diseases, have been extended to include cases of AIDS.The Telemedical Cardiology Centre in Kharkiv, with trans-telephone ECG. All equipment, including portable ECG amplifiers and modems, is developed in the Ukraine.Teleconsulting Medical Centres, in Kiev, for the analysis of MRI images.The centre \"Patholog\", in which oncologists - cytologists carry out work.The Ukrainian Association of Computer Medicine (UACM) has created (http: //www.uacm.cit-a.net) WWW- server , which has become a nucleus of the Corporate medical network permitting to exchange the information to 78 institutional members and over 900 individual members. The UACM has created affiliate Web - EHTO-UKRAINE server on national language (http://www.ehto-ukr.cit-ua.net). Ukraine took part in the \"Telemedecine Medical Care Networks within the Baltic Region\" programme. Also, Ukraine started the Ukrainian- American project on the monitoring of birth defects.The National Telematics Medical Corporate Network 'UkrMedNet' is under construction on the basis of existing the HealthNet and some other autonomous medical networks, with the newest of telecommunication technologies, used in Internet. This project also envisages the integration of all existing separate medical nets, universities and R&D institutes into one 'UkrMedNet', as well as the creation of a common informational space and its integration into the European one.'UkrMedNet' has a three-level structure. The first level consists of the National and four Inter-Regional nodes, which have a similar structure and service 5 or 6 Districts. All Inter- Regional nodes are directly connected to: a) National node and b) one of Inter-Regional ones. Such connection layout ensures the \"doubling\" of the connections of the first level nodes. The second level is formed on the basis of the District Healthcare Departments. Nodes are connected to the nearest Inter- Regional node. They ensure connection to the net of medical organisations located in the district. The third level is Regional nodes and end users. They are connected to the District nodes.The goal of the \"UkrMed- Net' is to supply an infrastructure for all medical networks and Telemedicine Centres in Ukraine. It accelerates the integration of the country into the world informational space."}
+{"text": "Occupational statements on death certificates of 2,457 males aged 25-64 who died from bladder cancer in selected coastal and estaurine regions of England and Wales during 1965-1980 were studied. Excess mortality was found for deck and engine room crew of ships, railway workers, electrical and electronic workers, shoemakers and repairers, and tobacco workers. An excess of cases also occurred among food workers, particularly those employed in the bread and flour confectionary industry or involved in the extraction of animal and vegetable oils and fats. Use of a job-exposure matrix revealed elevated risk for occupations in which most workers were exposed to paints and pigments, benzene and cutting oils."}
+{"text": "During 1982\u20131992, the Maternal and Child Health Family Planning (MCH-FP) Extension Project of International Centre for Diarrhoeal Disease Research, Bangladesh , in partnership with the Ministry of Health and Family Welfare (MoHFW) of the Government of Bangladesh (GoB), implemented a series of interventions in Sirajganj Sadar sub-district of Sirajganj district. These interventions were aimed at improving the planning mechanisms and for reviewing the problem-solving processes to build an effective monitoring system of the interventions at the local level of the overall system of the MOHFW, GoB.The interventions included development and testing of innovative solutions in service-delivery, provision of door-step injectables, and strengthening of the management information system (MIS). The impact of an in-built monitoring system on the overall performance was assessed during the period from June 1995 to December 1996, after the withdrawal of the interventions in 1992.The results of the assessment showed that Family Welfare Assistants (FWAs) increased household-visits within the last two months, and there was a higher use of service-delivery points even after the withdrawal of the interventions. The results of the cluster surveys, conducted in 1996, showed that the selected indicators of health and family-planning services were higher than those reported by the Bangladesh Demographic and Health Survey (BDHS) 1996\u20131997. During June 1995-December, 1996, the contraceptive prevalence rate (CPR) increased by 13 percentage points (i.e. from 40% to 53%). Compared to the national CPR (49%), this increase was statistically significant (p < 0.05).The in-built monitoring systems, including effective MIS, accompanied by rapid assessments and review of performance by the programme managers, have potentials to improve family planning performance in low-performing areas. Inadequate basic management skill among health teams at the implementation level is one of the main constraints in providing primary healthcare (PHC) in developing countries . LiteratPathfinder International, a Rural Service Delivery Partnership (RSDP), was a part of the National Integrated Population and Health Programme (NIPHP) of the MoHFW, GoB. The RSDP collaborated with the University of North Carolina (UNC) at Chapel Hill, United States of America (USA), to introduce a local-level monitoring system through an action-plan intervention for strengthening team work and developing the competence of health and family-planning managers and frontline supervisors at the levels of sub-district and below. The RSDP complemented the government efforts to increase the accessibility and use of the MCH-FP programme by rural families in the context of the NIPHP . The actIn Bangladesh, the delivery of health and family planning services for 300 000 rural populations is coordinated from the sub-district (upazila), the lowest administrative structure with substantial responsibilities for planning and implementation of all development activities in rural areas . The DirThe MCH-FP Extension Project , in collaboration with the MoHFW introduced a local-level monitoring system during 1982\u20131992 in Sirajganj for improving the management capability where the programme managers had reviewed the progress of the performance of service providers on a few selected indicators from monthly service statistics using the MIS in various meetings. The FWA Register was designed as a longitudinal record keeping system for the FWA. Under the leadership of MIS Unit of the DFP, it provided a foundation for the monitoring of FWA activities through supervisory field-visits [The study was conducted to assess the impact of an in-built monitoring system on the sustainability of a few selected indicators of MCH-FP after the withdrawal of the interventions.A cross-sectional study design was followed. Both quantitative and qualitative methods were used for collecting data on selected indicators. A rapid survey methodology was developed to provide administrators with quick information on problems faced at the community level. The cluster sampling procedure has been used throughout the world in immunization surveys. The EPI (Expanded Programme on Immunization) 30-cluster rapid assessment survey was used as the quantitative method for collecting data on selected indicators. Multi-stage, simple random sampling was used \u2013 one in July 1995 and the other one in December 1996 \u2013 in order to minimize the sample size required. A list of villages of all unions (one sub-district consist 8\u201310 unions having average population of 25 000\u201330 000) was used as a sampling frame. Twenty villages were selected, covering all the unions of the sub-district. Selection of the number of villages from each union was proportional to the size of the union. A cluster of 30 MWRA from each village was selected that yielded a sample of 600 MWRA for interview. Female interviewers received seven days' intensive training on data collection using various research methods and techniques. They interviewed 600 MWRA under the supervision of a field research officer who had more than seven years' experience in field research work and had supervisory and monitoring skills. The interviewer asked the responsible person of the sample village to select a primary school or mosque/temple/church/pagoda (a place of worship). One household from one specific corner of the worship place or primary school was selected as an index household. The corner was specified beforehand and was constant for all the selected villages. Interviews of neighbouring permanent residence MWRA, following the one in the index household, continued until interviews of 30 such MWRA were completed. Female respondents were selected because they were the major recipients of reproductive healthcare services. The major indicators of health and family-planning were: (a) awareness about services available from FWAs; (b) frequency of contacts with FWAs; (c) number of desired children; (d) unmet contraceptive need; (e) accessibility to H&FWCs and SCs; and (f) use of contraceptive methods. Design effect was used for establishing that 210 children (i.e. 30 clusters with 7 children per cluster) are necessary for a survey. In this study, the required sample was doubled to avoid the design effect.The qualitative methods were used for assessing the routine activities of 66 FWAs. The routine activities observed included: (a) administration of injectables at the door-step and (b) record-keeping. Two research officers made three days' observations on the activities of each FWA in a year during their home- visits. A structured observation checklist was used. At the facility level, three categories of meetings were observed, namely:(i) fortnightly meetings of FWAs and their immediate supervisor and paramedics at H&FWC to review the performance of the previous month and current stock of contraceptives;(ii) monthly mid-level supervisory meetings and local managers to review the union-wise monthly performance, discuss the field problems, and made decision to solve those problems; and(iii) monthly salary-day meetings of field and union-level service providers, supervisors, and local managers to review the MCH-FP-related performance of field workers and paramedics. A structured observation checklist was used for collecting information on 34 meeting proceedings. Content analysis of meeting minutes was done, and reports from observers of meetings were analyzed manually.Univariate analysis was conducted using SPSS (version 10) to determine different indicators of health and family-planning use. Chi-square test was employed to observe any significant differences in proportions between the first cluster survey (referent) and the second cluster survey.In absence of division-wise selected indicators, we used the national survey data of BDHS 1996\u20131997 to compare the selected indicators of health and family planning service use with the cluster survey or rapid assessment survey.Data of 1995 and 1996 showed a consistent pattern of adherence to the recommended protocol for administration of injectables . Other than salary day meetings, formalities in terms of the recording of the agenda and post-discussion resolutions of issues after discussion were maintained in the majority of the meetings. The monthly performance of maternal child health and family planning indicators were reviewed in the majority (70%) of the meetings.Table The remarkable improvement in programme performance as reported in the present study is attributable to two major factors: first, a series of on-the-job-training activities were conducted on the record keeping system, screening checklists of family planning methods, administering injectable contraceptive, management of side-effects of contraceptive methods, supervision and monitoring, etc, that updated the existing knowledge and facilitated close interaction between the trainers and the trainees. Maintenance of the active learning process, use of feedback mechanisms, and job related hands-on training were instrumental. The FWAs almost universally maintained the recommended protocol for administering injectables even after the withdrawal of the interventions. The high coverage of routine activities of the FWAs, such as record-keeping and screening of contraceptive methods, was also sustained after the withdrawal of the interventions.Second, conducting regular performance review meetings was very powerful. The feedback system in those meetings was ensured to evolve close interaction between field workers and supervisors. The local manager had the opportunity to identify any problems and explore appropriate solutions. This led to efficient management of the programme and advance planning. In the meetings, high-performing workers were praised, and poor-performing workers were offered assistance. This process was found to be useful for monitoring individual performance and aggregated outputs at the union levels, which finally created positive attitude and improved motivation for the entire team. Thus, overall improvement of the programme performance took place. Another influential factor was the independent local survey, which was indicator-based and that ultimately motivated the programme managers to fix the target, organize field activities, and generally improve. The FWAs who provided services at the door step motivated their clients to avail of better-quality services at the fixed site centres. The higher use of SC and H&FWC services was an indicator of improved field activities.The in-built review system was crucial. The district and local managers reviewed the results of the rapid assessment survey. These reviews assisted the sub-district managers and front-line supervisors in identifying the weakness of the programme and develop field operational strategies. The local managers then instructed the front-line supervisors to strengthen their monitoring and supervision activities (to improve the work of field-level workers), which were reflected in the survey results. This was an effect of the managers' motivation and positive efforts towards the improvement of the programme.In a review paper on performance monitoring for family planning, experiences of different countries have been highlighted . IndonesThe present study succeeded in using a package of strong MIS systems, performance review meetings having feedback mechanism, in-service training, and ad-hoc rapid assessment surveys to improve the performance of the programme, particularly in the low-performing areas of Bangladesh."}
+{"text": "Conflict and war have long been recognized as determinants of infectious disease risk. Re-emergence of epidemic sleeping sickness in sub-Saharan Africa since the 1970s has coincided with extensive civil conflict in affected regions. Sleeping sickness incidence has placed increasing pressure on the health resources of countries already burdened by malaria, HIV/AIDS, and tuberculosis. In areas of Sudan, the Democratic Republic of the Congo, and Angola, sleeping sickness occurs in epidemic proportions, and is the first or second greatest cause of mortality in some areas, ahead of HIV/AIDS. In Uganda, there is evidence of increasing spread and establishment of new foci in central districts. Conflict is an important determinant of sleeping sickness outbreaks, and has contributed to disease resurgence. This paper presents a review and characterization of the processes by which conflict has contributed to the occurrence of sleeping sickness in Africa. Conflict contributes to disease risk by affecting the transmission potential of sleeping sickness via economic impacts, degradation of health systems and services, internal displacement of populations, regional insecurity, and reduced access for humanitarian support. Particular focus is given to the case of sleeping sickness in south-eastern Uganda, where incidence increase is expected to continue. Disease intervention is constrained in regions with high insecurity; in these areas, political stabilization, localized deployment of health resources, increased administrative integration and national capacity are required to mitigate incidence. Conflict-related variables should be explicitly integrated into risk mapping and prioritization of targeted sleeping sickness research and mitigation initiatives. Sleeping sickness re-emerged in Uganda in the 1970s, and continues to pose a public health and economic burden . SimilarTrypanosoma spp.), a protozoan parasitic disease affecting humans, livestock, and a large number of sylvatic species in much of sub-Saharan Africa , trypanosomiasis represents an important public health and economic burden in sub-Saharan Africa is a public health problem in places where a research infrastructure can hardly exist\" p. 147].7.14,61] Prioritization of high-risk areas for sleeping sickness and trypanosomiasis control should explicitly integrate the occurrence of conflict and its impacts on transmission risk. The occurrence of conflict and presence of large number of internally displaced people can be integrated into current risk maps in addition to land cover, tsetse habitat, and livestock distributions. An understanding of areas where conflict may contribute to increased disease risk can guide prioritization of continent-wide as well as national mitigation programs.Conflict is an important determinant of sleeping sickness outbreaks in sub-Saharan Africa. In Uganda, the two sub-species of sleeping sickness can be expected to merge in the absence of immediate and targeted intervention in central districts; the presence of both diseases in one region will dramatically increase burden of disease as well as the complexity and difficultly of subsequent control initiatives. Control and prevention of sleeping sickness by national and international authorities should explicitly integrate consideration of conflict and its impacts into mapping and targeting of regions for priority intervention. Prevention and control campaigns should be assessed and evaluated against the ability of the initiative to address, mitigate, or alleviate the conflict-related drivers of disease risk. The occurrence of sleeping sickness in conflict-affected areas will severely constrain the success and cost-benefit evaluations of continent-wide tsetse eradication campaigns. Prevention of sleeping sickness risk in affected sub-Saharan African countries requires increased international focus on development of administrative policy, capacity, integration, and infrastructure to implement localized control strategies.HIV/AIDS Human Immuno-deficiency Virus/Acquired Immuno-deficiency VirusDRC Democratic Republic of the CongoWHO World Health OrganizationIDP Internally Displaced PersonsThe author(s) declare that they have no competing interests.LBF conceived, designed, researched, and prepared the manuscript."}
+{"text": "Detailed data and statistics per each morphological site of various digestive neoplasms were obtained for the period 1976-87 from the Vaud Cancer Registry datafile, a population-based cancer registration scheme covering about 530,000 inhabitants from the French-speaking part of Switzerland. Tabulations presented include absolute number of cases , percent distributions, age-standardised rates, sex ratios and 5-year survival. The report has essentially a descriptive value, and should be viewed as a contribution towards quantification, in a well surveilled population of the West-central part of Europe, of the proportional distribution of digestive neoplasms by morphological type, and corresponding incidence and survival rates. Among the points deserving specific attention, there are the elevated frequency of upper digestive tract cancers, the very high male-to-female ratios for squamous cell carcinomas, adenocarcinomas of the oesophagus and hepatocellular carcinomas of the liver, the female excesses in infiltrating carcinoids of the colon, transitional and squamous cell carcinomas of the rectum and adenocarcinomas of the gallbladder, and the crossover in male-to-female ratio in squamous cell carcinoma along the digestive tract (i.e. from 6.0 at the level of the mouth/pharynx to 0.5 in the rectum). As concerns survival, rates were higher for lymphomas and sarcomas than for carcinomas in oral cavity and stomach, similar for carcinoids and carcinomas in the small bowel (about 35% at 5 years), as well as for colon (34%) and rectal (37%) cancers. Some of the findings, such as the higher survival of carcinomas arising from polyps in the colon and rectum, or the higher proportion of cholangiocellular and combined cholangio- and hepatocellular carcinomas in females than in males find plausible prognostic or aetiologic correlates, but others, such as the large proportions of squamous and transitional cell cancers of the rectum in females are more difficult to explain. These and several other indications emerging from careful examination of the data herein presented underline the interest of morphological analyses of digestive tract cancers."}
+{"text": "EHP. Korach is director of the Environmental Diseases and Medicine Program, chief of the Laboratory of Reproductive and Developmental Toxicology, and chief of the Receptor Biology Section at the NIEHS. He received his PhD in endocrinology from the Medical College of Georgia in 1974. Korach\u2019s areas of research include the basic mechanisms of estrogen hormone action in reproductive tract and bone tissues, with an application toward understanding how hormonally active environmental estrogens influence physiological processes. He is the past editor-in-chief of Endocrinology, the flagship journal of the American Endocrine Society. Korach will guide EHP until a permanent editor-in-chief is selected.With this issue, Kenneth S. Korach becomes interim editor-in-chief of"}
+{"text": "The behavioral and social sciences offer insights into the comprehensive understanding of human health, including disease etiology and treatment, and the promotion of health and well-being. To encourage the investigation of the impact of social and behavioral factors on health and disease, the participating institutes and centers invite qualified researchers to submit research grant applications on methodology and measurement in the behavioral and social sciences. Methodology and measurement encompass research design, data collection techniques, measurement, and data analysis techniques. The goal is to encourage research that will improve the quality and scientific power of data collected in the behavioral and social sciences, relevant to the missions of the NIH Institutes and Centers (ICs). Research that addresses methodology and measurement issues in diverse populations, issues in studying sensitive behaviors, issues of ethics in research, issues related to confidential data and the protection of research subjects, and issues in developing interdisciplinary, multimethod, and multilevel approaches to behavioral and social science research are particularly encouraged, as are approaches that integrate behavioral and social science research with biomedical, physical, or computational science research or engineering. Applicants are encouraged to contact the Program Contact for Scientific/Research issues (see \u201cAgency Contacts\u201d) of the IC that most closely matches their research focus to determine the IC\u2019s interest in the research topic.This Funding Opportunity Announcement (FOA) encourages applications addressing four general areas of methodology and measurement research in the social and behavioral sciences. These areas include research design, data collection techniques, measurement, and data analysis. Within the broad spectrum of research defined by these areas, applicants are encouraged (but are not required) to consider studies that address one or more of the following key issues: 1) methodology and measurement issues in developing innovative interdisciplinary, multimethod, and multilevel research designs for use in behavioral and social science research, with emphasis on developing new technologies and addressing the analytical complexities associated with the integration of behavioral, social, and biological data; 2) methodology and measurement issues in research relating to diverse populations, e.g., populations that are distinctive by virtue of age, gender, sexual orientation, ethnicity, culture, including culture-specific medical systems, socioeconomic status, literacy, language, or disability; 3) methodology and measurement issues in studying how dramatic changes in economic, social, environmental, physical, or political context affect human health and well-being, including developing new methods if older ones are no longer valid in the face of significant changes in populations and societies over the last several decades; 4) methodology and measurement issues in studying potentially sensitive behaviors, such as sexual behavior and abortion, and covert or illegal behaviors such as drug use, abuse, and violence; 5) methodology and measurement issues concerning ethics in research, with emphasis on the topics of informed consent, assessment of risk and benefit, and selection and retention of subjects, and ensuring subjects\u2019 confidentiality.Multidisciplinary and interdisciplinary approaches are strongly encouraged. Potential applicants are urged to explore the ideas and methods developed in social science and behavioral fields other than their own and to consider the development and integration of behavioral and social science measures with those of the biomedical, physical, or computational sciences or engineering. Consulting relevant literature and collaborating with colleagues from other disciplines may provide important opportunities for cross-fertilization in developing improved methodology and measurement.Research design determines how well a research plan can accomplish stated purposes and test hypotheses. Research design encompasses many decisions including the sampling plan; selection of appropriate study designs, methods, procedures and measures; and assuring confidence in the study\u2019s internal and external validity. An innovative sample design or sampling frame can be the centerpiece of a research design. Examples of topics within research design include the following: 1) conceptual design strategies appropriate for the study of culture in the context of health; culture may include ethnic group, professional affiliation , culturally specific medical system, or interaction of multiple subcultures within a health-related context; 2) designs to improve causal inference from nonexperimental and quasi-experimental research and natural experiments; 3) research to improve the efficacy of multilevel designs; 4) methods for improving the design and evaluation of community-based research and intervention trials ; 5) conceptual, methodological, and ethical issues in designing studies that use different sources of information; e.g., studies comparing self- and third-party reports ; 6) designs to improve and compare various approaches to economic analysis, including cost analysis, cost-effectiveness, cost\u2013benefit, and conjoint analysis for improving decision-making in health policy and health care systems; 7) designs to improve the inclusion of underrepresented groups in research, e.g., women; children; the elderly; ethnic and racial minorities; sexual minority groups; geographically isolated groups; mentally or physically impaired or disabled populations; immigrants and refugees; and language minority populations; 8) designs that allow for the meaningful integration of biological, behavioral, and social science data ; 9) ethical considerations in research design including issues of informed consent, assessment of risk and benefit, confidentiality, and selection and retention of subjects; 10) methods for archiving and disseminating complex data sets, especially longitudinal data sets, data sets including social network data or geographic identifiers so the identities of study participants are protected and so the data sets can be used by other investigators; 11) alternatives to randomized, controlled trials, including studies to investigate the feasibility, validity, and benefit of incorporating subject preference in intervention design and outcomes assessment; issues regarding blinding; and design of placebo and other control groups; 12) methods to improve the design of clinical research for enhancing quality of patient care ; 13) designs that allow assessment of the active components of multilevel interventions; 14) methodology to ensure the integrity and consistency of data obtained in multisite studies.Developing and validating research instruments and questions are vitally important for collecting reliable information, and have obvious impact on data validity and reliability. For example, health care practitioners must collect reliable reports of symptoms from their patients to accurately diagnose disease. In addition, data collection instruments and questions developed for a particular age, gender, or cultural group may not be valid for other groups. For example, a dietary history questionnaire developed for Americans of European descent may not contain the foods commonly eaten by Americans of African, Asian, or Hispanic descent. Specific consideration of the processes underlying potential bias in self-report data collection remains a measurement issue: perceptual, cognitive, cultural, demographic, motivational, and affective influences on self-report data. Finally, continued improvement and innovation in developing and validating data collection instruments are important for all types of research settings, ranging from the clinical interview and observational study to the survey. Examples of measurement issues include: 1) development and refinement of measures, instruments, or surveys used in behavioral and social science research that fill a gap in research needs, with an eye toward developing and validating core sets of items to reduce redundancy across research projects; 2) instrument design, calibration, and refinement; instrument design issues in studying age, gender, and culture, including methods of studying culture and self-identification of race/ethnicity, as well as the psychometric properties underlying data collection instruments; 3) measurement issues in using technology such as computer-assisted data collection, web-based technology and personal digital assistants; 4) direct and indirect measurement of attitudes, values, self-esteem, and other psychological variables; this includes examination of economic values, including willingness-to-pay, as a means of evaluating benefits; 5) development of instruments that assess degree of change, and rate and variable direction of change; 6) development of instruments or technologies that measure behavior objectively or reduce self-report burden; 7) development of objective measures of components of the built environment that ffect health and of measures for assessing interactions between people and the built environment; 8) methodology to objectively measure the cultural and social environment, including aspects of the community environment that influence health; 9) methodology for validating geographic information system (GIS) data obtained from different sources; 10) methodology to measure fidelity to behavioral interventions, including the development or adaptation of behavioral and interpersonal measures to better assess the fidelity of community-based and multisite behavioral interventions; 11) development of measures of self-management of chronic illness and disability and of family management of chronic illness and disability among children; 12) development of behavioral and social science measures that can be used for efficient data collection in clinical practice\u2013based research networks; 13) methodology to capture the behaviors of health care providers in clinical settings; 14) methods that incorporate relevant biological, physical, or computational measures into behavioral and social science research; 15) development of measures for evaluating quality of life near the end of life in a variety of populations, and refinement of existing measures through longitudinal studies and across various disease states.Data collection techniques are the tools and procedures scientists use for implementing research designs and obtaining measurements. Methods for collecting research data have an important impact on data validity and reliability. For example, studies have suggested that use of self-administered instruments can facilitate the reporting of sensitive or illegal behaviors. Innovative methodologies can also open the door to the collection of new or more complex types of data by behavioral scientists. For example, recent developments in computer-assisted interviewing have permitted more complex question sequences in survey research and the development of hand-held \u201cbeepers\u201d programmed for data entry have permitted the collection of time-specific data on activities such as cigarette smoking. In addition, implicit measures have allowed researchers to examine processes of which people themselves have been unaware. Continued improvement and innovation in data collection methods are important for all types of research settings, including clinical interviews, observational studies, participatory action research, and surveys. In addition, more research is needed to understand how various methods work in diverse populations, and how they can be modified to address the specific needs of populations. Potential topics within data collection techniques include, but are not limited to the following: 1) methods to improve data collection in surveys and epidemiologic self-report studies, ethnographic and other qualitative studies, participatory action research methods, and multimethod studies; this may include new approaches to instrument design and manipulation of method and mode of data collection, length, setting, and interpersonal factors in data collection exchanges; 2) methods to develop innovative gold standards to assess and improve the accuracy of self-reports, in the absence of health record checks ; 3) new methods for qualitative research; methods for validating narrative or text-based analyses; techniques for validating and replicating findings from qualitative research, including collection strategies, development of coding protocols, and techniques that facilitate the integration and validation of qualitative and quantitative measurement; 4) methods to reduce sampling, survey, and item nonresponse bias in research studies, including techniques to improve the coverage of relevant populations in household surveys, to increase the voluntary participation of eligible subjects, to reduce attrition in longitudinal studies and clinical trials, and to improve response rates on sensitive items; 5) techniques for collecting contextual data and for operationalizing the boundaries of particular social, economic, physical, and cultural contexts; 6) improved technologies for data collection, including automated collection and reporting technologies, such as computer-based data collection and computer adaptive methodology, and research on how the method/mode used to collect data affects the quality of the data in a variety of populations and substantive areas; 7) data collection techniques that address the needs of special populations and that address how these methods affect data quality and completeness across diverse populations; 8) issues surrounding the collection of self-report data from different settings , different collection methods , from different parties , and the use of implicit and explicit measures; 9) development of better data collection techniques for studies that involve populations which are small or difficult to access, such as the terminally ill.Analytic methods encompass the concepts and techniques used in analyzing data and interpreting and reporting results, to improve estimation, hypothesis testing, and causal modeling based on scientific data. Challenges include developing techniques that distinguish underlying regularities from the noise created by variability and imprecise measurement; developing causal inferences from nonexperimental data; improving both the internal validity and external validity of measures and studies; and developing appropriate analytic techniques for use with new kinds of data and new approaches to behavioral and social science research, and meaningful integration of behavioral and social science data with those obtained from the biological, physical, computational sciences, or engineering. Examples of topics within analytic methods include: 1) research to improve the analysis of longitudinal data, in particular, the analysis of correlated data, the modeling of different sources of error, and techniques for dealing with missing data at various levels of aggregation; 2) methods for improving the analysis of multicultural; community-based multilevel intervention trials ; 3) methodological research to improve the analysis of complex survey data, including the statistical modeling of nonresponse and other survey errors; 4) analytic issues in innovative techniques for improving causal inference from nonexperimental research; 5) analytic methods for integrating evidence from qualitative and quantitative research, such as research examining the complex relationships among multiple sources of information on a single construct ; 6) analytic methods that appropriately model social structures, social processes, and spatial relationships such as social networks, social influence, diffusion, and contextual effects; 7) statistical procedures for accurately estimating multilevel models; 8) development of novel mathematical and computational techniques for analyzing and modeling behavioral and social processes; 9) methods for improving the analysis of nonindependent data, such as data examining processes in interactions between couples, families, or other groups; 10) developing sophisticated analytic methods that take into account complex probability designs used in epidemiological research; 11) analytical methods to incorporate geographic and built environment measures into behavioral and social science research; 12) expanding current psychometric methodologies to handle the types of data collected in behavioral and social science research, e.g., multidimensional data, shorter scales, nonnormal score distributions, mixed response format, and complex survey structure; 13) methods for the detection and analysis of nonlinear or discontinuous changes in response to treatment.http://www.nichd.nih.gov/publications/pubs/diverse_voices.htm).Potential applicants specifically concerned with research regarding the inclusion of language minorities should see the 2001 report on the conference \u201cDiverse Voices\u2014The Inclusion of Language-Minority Populations in National Studies: Challenges and Opportunities,\u201d sponsored by National Institute on Aging, the National Institute of Child Health and Human Development, and the National Center on Minority Health and Health Disparities (see http://grants.nih.gov/grants/guide/pa-files/PA-05-029.html). However, the research agenda also included detailed recommendations relating to needed methodological research related to the social and cultural dimensions of health. Potential applicants are encouraged to consult this report (see http://obssr.od.nih.gov/Conf_Wkshp/higherlevel/conference.html).In June 2000 the Office of Behavioral and Social Sciences Research held a conference \u201cToward Higher Levels of Analysis: Progress and Promise in Research on Social and Cultural Dimensions of Health.\u201d After the conference, a panel of scientists developed an ambitious research agenda on the social and cultural dimensions of health. A program announcement based on the panel\u2019s recommendations for substantive research has been issued by OBSSR encouragement of research intended to develop methodological, evaluative, and analytic tools for studying stigma and its consequences with respect to health, and 2) development, evaluation, and optimization of interventions to prevent or mitigate the negative effects of stigma and discrimination on health. In both areas the social and cultural dimensions of stigma and its manifestations should be included. Applicants are encouraged to refer to the stigma conference website: In addition, the following reports may be useful as general references on behavioral and social sciences research as it relates to health:http://www.nap.edu/catalog/10002.html).New Horizons in Health: An Integrative Approach (2001) .Health and Behavior: The Interplay of Biological, Behavioral, and Societal Influences (2001) .From Neurons to Neighborhoods: The Science of Early Childhood Development (2000) .Bridging Disciplines in the Brain, Behavioral, and Clinical Sciences (2000) . Frank Kessel, Patricia Rosenfield and Norman Anderson, Editors. New York:Oxford University Press.http://www.nap.edu/books/030907259X/html/).Rebuilding the Unity of Health and the Environment (2001) (http://www.nap.edu/books/0309071992/html/).Cells and Surveys: Should Biological Measures be Included in Social Science Research? (2001) .Qualitative Methods in Health Research: Opportunities and Considerations in Application and Review (2001) .Applicants may also wish to consult the following report on the protection of human subjects in behavioral and social sciences research: Protecting Participants and Facilitating Social and Behavioral Sciences Research (2003) (http://grants.nih.gov/grants/funding/modular/modular.htm).This FOA will use the NIH Research Project Grant (R01) award mechanism. The applicant will be solely responsible for planning, directing, and executing the proposed project. This FOA uses \u201cJust-in-Time\u201d information concepts. It also uses the modular as well as the nonmodular budget formats , use the PHS398 Modular Budget component provided in the SF424 (R&R) Application Package and SF424 (R&R) Application Guide .U.S. applicants requesting more than $250,000 in annual direct costs and all foreign applicants must complete and submit budget requests using the Research & Related Budget component found in the application package for this FOA. See NOT-OD-06-096 23 August 2006. Applicants must download the SF424 (R&R) application forms and the SF424 (R&R) Application Guide for this FOA through Grants.gov/Apply.Note: Only the forms package directly attached to a specific FOA can be used. You will not be able to use any other SF424 (R&R) forms , although some of the \u201cAttachment\u201d files may be useable for more than one FOA.GrantsInfo@nih.gov.For further assistance, contact GrantsInfo: 301-435-0714, (telecommunications for the hearing impaired: TTY 301-451-0088), or by e-mail:http://grants.nih.gov/grants/funding/sub-missionschedule.htm. The complete version of this PA is available at http://grants.nih.gov/grants/guide/pa-files/PA-07-060.html.The application submission dates for this PA are available at http://grants.nih.gov/grants/guide/pa-files/PA-07-060.html.Contacts: The complete list of agency contacts is available at Reference: PA-07-060."}
+{"text": "This paper investigates the wealth of medicinal plants used by the Apatani tribe of Arunachal Pradesh. Apatani have traditionally settled in seven villages in the Ziro valley of Lower Subansiri district of Arunachal Pradesh in the Eastern Himalayan region of India. The present study has resulted in the documentation of 158 medicinal plant species used by the Apatani group of villages. These medicinal plant species were distributed across 73 families and 124 genera. Asteraceae was the most dominant family of medicinal plants, followed by Zingiberaceae, Solanaceae, Lamiaceae and Araceae. For curing ailments, the use of aboveground plant parts was higher (80%) than the belowground plant parts in the Apatani group of villages. Of the aboveground plant parts, leaf was used in the majority of cases (56 species), followed by fruit. Different belowground plant forms such as root, tuber, rhizome, bulb and pseudo-bulb were used by Apatani as a medicine. About 52 types of ailments were cured by using these 158 medicinal plant species. The results of this study are further discussed in the changing socio-economic contexts. Tribal communities are mainly the forest dwellers who have accumulated a rich knowledge on the uses of various forests and forest products over the centuries. India possesses a total of 427 tribal communities, of these more than 130 major tribal communities live in North East India, which is comprised of the 8 states Meghalaya, Mizoram, Manipur, Tripura, Sikkim, Assam, Nagaland and Arunachal Pradesh. The major tribal communities of the North East India have been categorized into sub-tribes and if these sub-tribes are taken into account the total number of tribal groups reaches up to 300. In general, the tribes of North East India have been categorized into two broad ethnic communities, such as the Khasi and the Jaintia tribe of Meghalaya, who belong to 'Monkhemar' culture of Austoic dialect, and the rest of the tribal groups are basically Mongoloid, who belongs to Tibeto-Burman subfamily of Tibeto-Chinese group was used as medicine. These 158 medicinal plant species were used in curing about 52 types of ailments, of which the highest numbers of plant species (40 species) were used for the treatment of gastrointestinal disorders such as indigestion and constipation. About 19 medicinal plant species were used in curing cough and cold, and 15 medicinal plant species were used for healing cuts and wounds than the belowground plant parts. Of the aboveground plant parts, leaf was used in the majority of cases 56 species), followed by fruits. Different belowground plant forms such as root, tuber, rhizome, bulb and pseudo-bulb were also used by the Apatani as a source of curing ailments Table . The who6 speciesPrevious studies carried out in North East India have reported 41 medicinal plant species used by the Apatani of Arunachal Pradesh . However"}
+{"text": "Electrodiagnostic medicine is a specific branch of medicine used by specialist physicians in the field of physical medicine and rehabilitation and/or neurology to diagnose, prognosticate and plan treatment options of peripheral nerve lesions. This meeting was hold to discuss multidisciplinary approaches to this common and important topic in the medical field.The Department of Physical Medicine, Rehabilitation and Electrodiagnosis of Shaheed Beheshti Medical University in collaboration with the Iranian Society of Physical Medicine and Rehabilitation (ISPMR) held the 1 Electrodiagnostic medicine is a specific branch of medicine used by specialist physicians in the field of physical medicine and rehabilitation and/or neurology to diagnose, prognosticate and plan treatment options of peripheral nerve lesions. This meeting was hold to discuss multidisciplinary approaches to this common and important topic in the medical field.The 1st Congress of Electrodiagnostic Medicine in Peripheral Nerve Lesions was held in Tehran,Iran organized by the Department of Physical Medicine, Rehabilitation and Electrodiagnosis of Shaheed Beheshti Medical University in collaboration with the Iranian Society of Physical Medicine and Rehabilitation and rehabilitation measures of peripheral nerve lesions. Twenty leaders in the field of peripheral nerve including: physiatrists, neurosurgeons, neurologists, orthopedists, hand surgeons, vascular surgeons, and plastic and reconstructive surgeons were invited as key lecturers to present the updates about peripheral nerves in upper and lower limbs. In addition to oral presentations, 2 panel discussions, \"Carpal Tunnel Syndrome\" and \"Thoracic Outlet Syndrome,\" were organized to discuss these challenging topics. About 160 participitants from diverse disciplines including physiatry, orthopedics, neurosurgery, hand surgery, neurology, physiotherapy, occupational therapy and also general practitioners participated in the congress. Seyed Mansoor Rayegani, M.D., associate professor of PM&R, was responsible as the secretary of the congress.The additional files contain the slides from the invited lectures and panel discussions [see additional file Slides from the invited lectures and panel discussions. Compressed PDFs of 15 presentations and 2 panel discussions during the conference.Click here for file"}
+{"text": "Guide to Community Preventive Services. Initial foci for the Cancer Prevention and Control Research Network's research work groups include projects to increase screening for breast, cervical, and colorectal cancers; to promote informed decision making for prostate cancer screening; and to validate educational materials developed for low-literacy populations.The Cancer Prevention and Control Research Network is a national network recently established to focus on developing new interventions and disseminating and translating proven interventions into practice to reduce cancer burden and disparities, especially among minority and medically underserved populations. Jointly funded by the Centers for Disease Control and Prevention and the National Cancer Institute, the Cancer Prevention and Control Research Network consists of sites administered through Prevention Research Centers funded by the Centers for Disease Control and Prevention. The five sites are located in Kentucky, Massachusetts, South Carolina, Texas, Washington State, and West Virginia. The Cancer Prevention and Control Research Network's intervention areas include primary prevention of cancer through healthy eating, physical activity, sun avoidance, tobacco control, and early detection of cancer through screening. The Cancer Prevention and Control Research Network uses the methods of community-based participatory research and seeks to build on the cancer-relevant systematic reviews of the The Cancer Prevention and Control Research Network (CPCRN) is a federally funded, national network of academic, public health, and community partnerships that work together to reduce the burden of cancer, especially among those disproportionately affected. The CPCRN was initiated in October 2002, with funding from the Centers for Disease Control and Prevention (CDC) and the National Cancer Institute (NCI) as part of their effort to more effectively translate research into practice. The five CPCRN sites were selected through a competition among the CDC-funded Prevention Research Centers (PRCs). Three sites are operated by individual universities: the Universities of South Carolina, Texas-Houston, and Washington. Two sites are operated jointly by pairs of universities: Boston and Harvard Universities; and the University of Kentucky and West Virginia University. This paper introduces the CPCRN; outlines the context for its creation, along with its goals, structure, and operations; and summarizes progress to date.Guide to Community Preventive Services (Community Guide) , suggesty Guide) , with itThe creation of the CPCRN is, in part, a response to the growing magnitude of and persistent disparities in cancer burden. Cancer is the second leading cause of death in the United States as well as a leading cause of morbidity. Cancer accounts for one of every four deaths , and, inDisparities in cancer incidence and mortality persist. For example, the incidence of cervical cancer is four times as high among Vietnamese women as it is among other Asian American and Pacific Islander women . OverallThose disparities are the result of a complex array of economic, social, and cultural factors, and these factors are also reflected in disparities in preventive behaviors. For example, smoking prevalence is now highest among American Indian 38.6%) and Alaska Native (27.4%) men and women 8.6% and . ScreeniThe CPCRN embraces the principles of CBPR as core The need for the CPCRN is highlighted by recent reports of both progress against cancer and remaining challenges in disseminating and translating knowledge gained from efficacy and effectiveness research. During the late 1990s, death rates from the four leading cancers \u2014 lung, colorectal, breast, and prostate \u2014 declined nationally and in most states . Two impBoth the NCI and the CDC have given high priority to bridging the dissemination gap. The NCI's Translating Research into Improved Outcomes program has identified the dearth of dissemination research as a key impediment to the adoption of evidence-based cancer control intervention. The program has also identified the need to expand research/practice partnerships as critical to both the adoption and evaluation of evidence-based interventions in public health and clinical practice settings .Community Guide, developed under the aegis of an independent, nonfederal Task Force on Community Preventive Services and maintained at the CDC, has provided a partial summary of the state of the art of community-based cancer prevention and control. Based on a systematic review of the literature, the Community Guide currently recommends 14 interventions aimed at increasing physical activity, reducing exposure to and use of tobacco, and reducing exposure to ultraviolet light (The et light 10-13).-13.CommuThe CDC has a ready dissemination outlet for proven intervention strategies through its state-based cancer prevention and control programs: the National Breast and Cervical Cancer Early Detection Program and the Comprehensive Cancer Control Program.The prior investment of the CDC in its PRC program facilitated the creation of the CPCRN by providing a well-established administrative home for each of the five sites. In 1984, Congress created the PRC program at the CDC by authorizing the funding of academic health centers for innovative research and demonstration projects to prevent chronic disease. In 1986, the CDC established three PRCs for two years. Since then, the funding period has increased to five years, and the number of centers has grown to 28, which are located in 25 states.Three aspects of the PRC program strengthen the ability of the participating CPCRN sites to design, implement, and evaluate cancer prevention research with immediate application to public health practice. First, the PRC peer-review mechanism involves researchers experienced with CBPR. The peer review process provides assurance that applications are scientifically sound and that the research conducted is of practical use to communities. Second, the program's focus on CBPR enhances the likelihood that the PRCs will evaluate acceptable and sustainable community-based interventions. Partnerships and collaborations of PRCs with various entities increase the likelihood that PRCs will produce evaluations of interventions that are likely to be translated and sustained. Third, research conducted among the most disadvantaged and underserved populations in the nation provides the PRCs with the opportunity to evaluate the external validity of interventions among diverse populations, including the rural poor of Appalachia, African Americans in South Carolina, public housing residents in Boston, residents of the U.S.-Mexico border, and loggers and pulp-mill workers in Washington State.The overall goal for the CPCRN is to conduct community-based cancer prevention and control intervention and dissemination research that extends the knowledge base, addresses critical gaps, and leads to adoption, replication, implementation, and dissemination of successful programs in communities.Community Guide by conducting site-specific and multisite intervention and dissemination research. The four specific research areas include 1) research on the effectiveness of community-based interventions for which evidence is insufficient to justify a Community Guide recommendation; 2) research replicating Community Guide-recommended interventions in populations and settings where they have not been adequately evaluated; 3) research on how to disseminate and implement Community Guide-recommended interventions into communities by public health and community-based organizations; and 4) evaluation of community programs to determine their effectiveness.The CPCRN addresses gaps and builds on recommendations in the The initial funding of the CPCRN for a two-year period supported the development of both local network centers and the larger national network of the CPCRN sites. At both levels, expected outcomes are evidence of the networks' existence and viability, including mission and vision statements, short- and long-term objectives, and active working groups. Of special emphasis in the research arena are efforts to develop strong partnerships with communities bearing the greatest burden from cancer, where community-based participatory research projects are likely to contribute to the reduction and/or the elimination of disparities in cancer burden.The CPCRN is a national network of five sites, each of which is a local network of academic, community, and other organizations with an interest in cancer prevention and research. The work of the CPCRN is led by a Coordinating Center that organizes, among other things, cross-site work groups on research topics of mutual interest to the sites, the CDC, and the NCI. The six sections that follow describe the work of the Coordinating Center and of each of the five local sites.The University of Kentucky and West Virginia University share the coordinating center role for the CPCRN. The Coordinating Center guides discussions on developing research tools for community interventions in cancer prevention and control, organizes collaborative activities with CPCRN members and their partners, fosters relationships among CPCRN members and national/state/local partners to ensure that CPCRN objectives are being achieved, and provides leadership in developing and managing the CPCRN operational structure.Specific activities include 1) developing and implementing a plan and system for effective communication among CPCRN centers; 2) implementing a collaborative planning process resulting in a seven-year plan for CPCRN research, dissemination, and evaluation; 3) implementing processes and procedures for encouraging PRCs to develop collaborative cancer prevention and control research projects; and 4) ensuring that external evaluation is conducted and is focused on the Coordinating Center's performance.The site based at the University of Washington is the Alliance for Reducing Cancer, Northwest . The mission of the ARC NW is to increase primary-preventive and early-detection behaviors to prevent and control cancer in the Puget Sound region, Washington State, and the Pacific Northwest. ARC NW is a collaborative effort among the University of Washington PRC, the American Cancer Society Great West Division; Fred Hutchinson Cancer Research Center; Group Health Cooperative of Puget Sound, a health maintenance organization; Public Health Seattle and King County, a local health department; the Puget Sound Neighborhood Health Centers, an organization of several community health centers in the region; Qualis Health, the Medicare quality improvement organization for Alaska, Idaho, and Washington State; the Washington State Department of Health; and the Weyerhaeuser Company, a large timber products company.Data from the Washington State Behavioral Risk Factor Surveillance System reveal underuse of primary-preventive and early-detection behaviors. In 2002, 21% of Washingtonians aged 18 or older smoked, 15% were physically inactive during leisure time, 76% ate inadequate quantities of fruits and vegetables, and 60% were overweight or obese. Also in 2002, among appropriate age groups, 45% had never received a flexible sigmoidoscopy or colonoscopy, 40% had never received a fecal occult blood test, 26% had not received a mammogram within two years, and 13% had not received a Papanicolaou (Pap) test within three years . Employers of all sizes nationwide reported in the same survey the following health insurance offerings: 80% covered mammograms, 79% covered Pap smears, 68% covered colorectal cancer screening, and 10% covered smoking cessation treatment that included both prescription medications and counseling.The ARC NW focuses on employed populations and on underserved communities. Five current activities include 1) a pilot test, involving the Weyerhaeuser Company, of a policy intervention to promote primary prevention and early detection via the worksite and employment-based health insurance; 2) development of a work site-based, team-oriented intervention to promote primary prevention and early detection of cancer; 3) a pilot test of a tool to increase informed decision making regarding prostate cancer screening; 4) assistance to the Washington State Department of Health in designing and evaluating its colorectal and prostate cancer screening programs; and 5) a review of the literature regarding the quality of life after treatment of prostate cancer.The site based at the University of Kentucky and West Virginia University is the Appalachian Cancer Research Consortium (ACRC). The target population of the ACRC includes the poor, medically underserved, and primarily rural residents of West Virginia and the 51 counties in Appalachian Kentucky. The two universities have a long history of collaboration, with extensive experience in working with communities throughout Appalachia on critical health issues.The U.S. Department of Health and Human Services considers the rural residents of Appalachia a \"special population\" . These rAs a result, West Virginia and the Appalachian regions of Kentucky have higher total cancer mortality rates than the national average ,19. BothThe ACRC focuses its efforts primarily on four cancer sites \u2014 lung, cervix, colorectal, and breast \u2014 with high disease burden, high behavioral risks, and high importance to community members in the region. Current activities of the ACRC include 1) developing a standardized assessment tool to evaluate readability, format, illustrations, and content of cancer prevention and control materials; 2) developing a protocol for colorectal cancer intervention for men and women aged 50 and older; and 3) conducting work site focus groups to identify barriers to colorectal screening for public employees aged 50 and older.The site based at the University of Texas (UT) is Latinos in a Network for Cancer Control . The mission of the LINCC is to reduce cancer-related health disparities among Hispanics/Latinos through community-based intervention, replication, and dissemination research. LINCC is a collaboration among 1) academic researchers at the UT School of Public Health, the UT M.D. Anderson Cancer Center, and the Baylor College of Medicine; 2) cancer control organizations, including the American Cancer Society, Cancer Information Service, Sanchez Cancer Center, Texas Cancer Council, Texas Comprehensive Cancer Coalition, and the Texas Department of Health; and 3) community-based organizations, including the Center for Border Health Research, Hispanic Health Coalition, Migrant Health Promotion, the National Center for Farmworker Health, and the Racial and Ethnic Approaches to Community Health coalition.colonias, unincorporated areas where environmental pollution, inadequate wastewater systems, and inadequate access to public drinking water compound socioeconomic influences on health behavior.Hispanics/Latinos in Texas account for approximately 25% of the total U.S. Hispanic population and 32% of the total Texas population . Along tHispanics in the United States experience higher incidence rates of cervical cancer per 100,000 (16.3) compared with non-Hispanics (7.8) and higher rates of mortality per 100,000 (3.7 compared with 2.6) . Along tpromotora-) based interventions for increasing cancer screening; and 4) research on the effectiveness of small media interventions to increase cancer screening. Another major focus of LINNC is to identify important factors and effective strategies for replicating and disseminating effective cancer control interventions in Hispanic communities. To this end, LINCC is conducting research on the replication and dissemination of an evidence-based, effective breast and cervical cancer screening intervention for Hispanic women: Cultivando la Salud (Current LINCC activities include 1) new research on factors influencing colorectal cancer screening among Hispanics and the development of a community-based intervention to increase this screening; 2) research on informed decision making for prostate and colorectal cancer screening; 3) an evidence review and new research on lay health-worker- .The site based at Boston and Harvard Universities is the Massachusetts Cancer Prevention Community Research Network (MCPCRN). The MCPCRN's mission is to foster a network of partnerships among cancer prevention researchers and community collaborators to support CBPR and to reduce social disparities in cancer risk. The MCPCRN is a collaboration of the Dana-Farber/Harvard Cancer Center Risk Reduction Program, the Harvard Prevention Research Center (HPRC), and the Boston University Prevention Research Center, with participation from the American Cancer Society's New England Division and the Massachusetts Cancer Control Coalition.Massachusetts has 6.5 million residents, 82% of whom are non-Hispanic white . In BostTo reduce these risks, the MCPCRN is approaching four priority community sectors: 1) schools and youth, 2) work sites and labor unions, 3) health care providers, 4) and low-income housing. Among schools and youth, the HPRC faculty direct a range of school and community-based research to improve youth nutrition and physical activity. Work sites and union partners include the Massachusetts AFL-CIO , the Massachusetts Coalition on Occupational Safety and Health, and individual local unions. Approximately 50 community health centers, many with strong ties to MCPCRN partners, facilitate access to health care providers in Massachusetts. The cost of housing in Massachusetts ranks third nationally; MCPCRN collaborators have identified more than 100 housing developments in Boston, Cambridge, and Somerville as potential partners.The MCPCRN's current objectives are to strengthen ties with communities and to conduct pilot and developmental studies as a foundation for future research. An upcoming conference on CBPR will emphasize engaging community organizations in cancer prevention research opportunities. Collaborative community efforts support Health Ambassadors for African American and African immigrant women in Boston and train tobacco advocates in housing developments. Developmental research includes a work site protocol to increase informed decision making for prostate cancer screening; materials to promote timely follow-up for abnormal mammograms among low-income, ethnic minority women; and methods to improve decision making on colorectal cancer screening. Pilot studies include an intervention aimed at weight reduction and increased physical activity through the Young Men's Christian Association and data collection in low-income housing developments.The site based at the University of South Carolina is the South Carolina Cancer Prevention and Control Research Network (SCCRN). The SCCRN was created to address the large and growing cancer burden among African Americans living in South Carolina. Its aim is to serve the entire state, with a population of just more than 4 million people, comprising an area of 31,000 square miles, and ranging from a long, broad coastal plain to the Piedmont region of southern Appalachia. The SCCRN builds on a strong network of existing programs that have coalesced recently in the South Carolina Cancer Alliance (SCCA), which consists of more than 750 institutional and individual members. The constituent bodies of the SCCA include the South Carolina Department of Health and Environmental Control and numerous grassroots organizations in addition to all academic, clinical care, and nongovernmental organizations with cancer-related missions.South Carolina is a relatively rural state, with very high >40%) African American representation in rural areas. It is also a poor state, where the average personal income is about 81% of the national average . Cancer 0% AfricaResearch at the SCCRN focuses on investigating ways to implement programs that complement existing cancer prevention and control infrastructure and through which we can anticipate risk reduction based on changes in individual and organizational behavior. The SCCRN focuses on breast, cervix, colorectal, oropharyngeal, prostate, and thoracic cancers. Ongoing projects include 1) investigation of small media approaches to increase breast and cervical cancer screening in low-income, rural women at highest risk of aggressive forms of these cancers, 2) research on informed decision making for prostate cancer screening and treatment, and 3) identification of geographical determinants of prostate cancer. Formative work includes 1) exploration of a community-based, statewide program of research in oral cancer precancerous lesions, 2) development of a mammography registry to understand patterns of use in low-income, predominantly African American populations, and 3) a church-based participatory intervention of lay health advocate-delivered cancer education and referral.In its first year of operation, the CPCRN has focused on a strategic planning process. From the beginning, community partners from each of the five sites have played strong and active roles in these processes. The strategic planning process produced vision and mission statements; a set of operating structures, principles, and plans; and four research work groups (see below).Communities and researchers working together to reduce the burden of cancer, especially among those disproportionately affected.The mission of the CPCRN is to conduct cancer prevention and control research that extends the knowledge base, addresses critical gaps, and leads to adoption, replication, implementation, diffusion, and evaluation of successful programs in communities.The CPCRN has developed a governing structure with a steering committee, guiding principles, and a seven-year strategic plan. Further information on each of these documents is available from: URL: http://ukprc.uky.edu/CPCRN/home.htm.The strategic planning process also suggested the development of work groups to initiate and carry out CPCRN research. The CPCRN currently has work groups focusing on 1) screening for breast and cervical cancers; 2) screening for colorectal cancer; 3) informed decision making and quality-of-life issues for prostate cancer screening and treatment; and 4) validating low-literacy educational and media materials. The work groups involve cross-site collaboration among scientists from the network centers and have established research goals .Community Guide. Finally, the location of the CPCRN within the CDC's PRC program enables its research findings to be easily translated, both nationally and locally, through long-existing partnerships with other prevention organizations.The CPCRN represents a new and innovative approach for addressing the challenge of identifying effective interventions and promoting dissemination and adoption of these interventions into communities. The CPCRN sites are geographically distributed across the nation, enhancing opportunities to develop community partnerships and to conduct community-based assessments, evaluation, and research with populations that represent nearly all types of medically underserved racial and ethnic groups in the continental United States. A strong commitment to CBPR increases the likelihood that CPCRN research will benefit the underserved communities in greatest need. The CPCRN also provides an opportunity for the sites to collaborate in addressing research gaps, including dissemination research and research translation, and to build on recommendations provided in the Fostering the optimal results from the CPCRN will require that its members maintain a delicate balance between coordinated, centralized efforts and retaining and enhancing the critical, locally responsive nature of its individual members. Within the tension between centralization and decentralization lies the exciting opportunity to create new strategies for successfully reducing the burden of cancer, especially among those disproportionately affected."}
+{"text": "This article is derived from a broad, twenty-year study of ethnobotany and folk medicine among pastoral nomads in the Middle East which took place from 1984 to 2004. The article presents examples of different treatments of diseases and disorders of the urinary tract carried out by healer herbalists. The preparation of remedies includes boiling infusions, extraction of dry or fresh leaves, flowers, seeds or whole plants. Some of these plants were used both as food and as medicine, by ingesting different parts of the plants, such as leaves, flowers, fruits, and so on, either while soft, cooked or dried. Data were collected by using unstructured interviews and by observation. These plants were identified by healers, patients, and university botanists. This paper identified eighty-five plant species, which belong to thirty-six families. The most representative families are: Asteraceae (8), Brassicaceae (6), Poaceae (6), Umbelliferae (6). Hadith) of the Prophet Muhammad on health and illness were systemized and became known as The Medicine of the Prophet [Bayt al-hikmah , where scholars worked to translate them into Arabic [People have been using traditional medicine including ethno-botany for several thousand years. Ancient Arabic medicine was influenced by the ancient medicinal practices of Mesopotamia, Greece, Rome, Persia and India. The Greco-Roman system of medicine was developed based primarily on the writings of Hippocrates 460-360 B.C.), Dioscorides (circa 54 to 68 AD) and Galen 130\u2013201 AD). A combination of political and religious factors caused many Greek and Syriac-speaking scholars to move eastward to Persia and to establish centers of learning there. The city of Gundishapur in southwest Iran also became a center of learning, with a well-known medical school, in the sixth century AD [30\u2013201 AD60 B.C., The Canon of Medicine , the epitome of Islamic medicine. This work is the culmination and masterpiece of the Arab systematization of medical science, and includes many descriptions of the uses of medicinal plants [The Comprehensive Book on Medicine . The material written by al-Hawi is arranged under headings of different diseases, with separate sections on pharmacological topics. Ibn Sina's and al-Razi's works were later translated into Latin, and continued to influence medical science well into the nineteenth century [Within a century, Muslim physicians and scientists were writing original contributions to medical and botanical knowledge. One of the greatest and most famous Islamic doctors was Ibn Sina Avicenna 980\u20131037), author of l plants . Other A80\u20131037, The Compendium of Simple Drugs and Food , in which he described more than 1400 medicinal drugs, 300 of which had not previously been described, recording them alphabetically and discussing them with great clarity and detail. The work specified the names of herbs and remedies in various languages, thus providing a first class tool for the comparative research of medicinal plants. Other well-known physicians who wrote on plant uses were: Ibn Juljul, al-Ghafiqi, Ibn Bajjah, Ibn Samajun, and Abu'l-Hassan al-Andalusi [In the western part of the Islamic empire, the Umayyads of Andalus (Islamic Spain) made their capital at Cordoba. Areas of Cordoba and Granada became centers of learning. The richness and diversity of the flora of Spain were major contributing factors to the development of medical botany. The majority of physicians were herbalists and vice versa. The physician Ibn al-Baytar 1197\u20131248), authored Andalusi ,7. Tradi\u20131248, aujinns, and the negative effects of sorcery and/or witchcraft. The pastoral nomadic tribes depend on their local healers and traditional medicine as recorded in Table 1 . The paper is based on interviews with healers and patients. All the material was recorded in field logs, and some was tape-recorded. Unstructured interviews and the observation of participants were carried out in the informants' homes (120 men and 120 women), as well as in the homes of traditional healers (15 men and 10 women). Most of the healers were in the age range of forty to eighty. All the informants were married and over thirty. There were five males from each desert, and four female healers from the Negev, three from Sinai and three from Jordan. The informants were divided into two groups of forty men and forty women from each desert. The collected information was used to construct a list of the indigenous ethnobotanic medicine. Samples from all the plants were collected and identified by healers, patients and university botanists.This paper describes the treatment of diseases and disorders of the urinary tract by traditional herbalists among the pastoral nomadic Bedouin tribes in the Middle East. In this study, we identified eighty-five plant species, which belong to thirty-six families.The use of traditional medicine by the pastoral nomads, and the appeal to traditional healers over the course of many centuries established a psychological-therapeutic dependence of the pastoral nomadic tribes upon these healers. The rich variety of approaches employed by pastoral nomadic healers to treat disorders and diseases of the urinary tract is indicative of the depth and breadth of indigenous medicine practiced among the pastoral nomads in the twentieth century. The analysis of my collected data, together with the information extracted from the literature on herbal and ethnobotanic medicine of countries in the Middle East ,15,21,18Table 1 presents information on which parts of the plants are used and in what manner. It should be noted that for some plants, the uses in different countries of the Middle East are similar ,16. HoweThe many medicinal substances which we were able to identify as used in traditional medicine included various plants species. The analysis of the findings shows that the three deserts where I conducted my research served as the geographic origin of the medicinal substances. These plants were available because they grew as wild and cultivated plants and were part of the natural flora of these deserts. The pastoral nomads used these plants as food and as medicine, by eating different parts of the plants including the following: leaves, flowers, barks, stems, stalks, roots, rhizomes, bulbs, pith, fruit, corms, inflorescenes, shells, berries, seeds, stones/pits (in fruit), soft seed pods, buds, and shoots.It should be noted that wild desert plants also contain a host of other biologically active compounds besides nutrients. The physiological effects of these other compounds in relation to plant nutrients are not well known, but could affect nutrient and medical utilization or other functions. These topics are of relevance for future research in terms of improving our understanding of human nutritional and medical requirements of the pastoral nomads in the Middle East.Table 1: Urinary Diseases and Ethnobotany among Pastoral Nomads in the middle EastClick here for file"}
+{"text": "Perceptual decision-making tasks usually require subjects to recognize stimulus categories and select between different response alternatives. For example, in Go/No-go tasks, one has to respond to target stimuli and withhold responding to non-target stimuli. Accomplishing even just a single trial of such a task needs a complex sequence of functions (most of them executive) consisting, for example, in motor readiness, sustained attention, sensory processing, inhibitory control, conflict monitoring, stimulus-response mapping, context updating and, if any, error detection and awareness. In this context, the motor response reflects the behavioral outcome of the fast and proper interaction of the above-mentioned processes, and the response consistency (or variability) is often adopted as index of executive functioning.an inconsistent response is one of the most striking consequences of lesions to the cerebral cortex.\u201d More recently, consistent literature indicated response variability as an indirect index of top down control (Tamm et al., Nowadays, one challenge of the cognitive neuroscience is to understand how executive functions allow to make decisions. In fact, understanding decisional processes, and reasons of decision failure, would be helpful to clarify the executive dysfunctions of clinical conditions such as obsessive compulsive disorders, impulsivity, and addictions (typically intended as a failure of inhibition; Chamberlain et al., Even though it is evident the relationship between executive functioning and performance variability at group level (e.g., in the comparison between high- and low-level athletes in sport; Vestberg et al., Identification of neurophysiological correlates of executive functioning requires to investigate different cognitive abilities, which in part depend on the experimental paradigm: for example, in Stroop or sustained attention tasks (Demeter and Woldorff, When performing a decision-making task, the contribution of the PFC executive functions is manifested mainly through cognitive processes like top-down attentional control, maintenance of information in the short-term memory, ability to ignore distractors and focus on relevant features, and inhibition of the wrong schema and selection of the appropriate one. Since even one of these processes would be able to affect the inter- and intra-individual variability of the performance, they should be dissociated and investigated separately.Recent ERP studies described different pre-movement activities within the frontal cortex emerging both before and after the stimulus appearance in decisional tasks: as reviewed by Di Russo et al. , there iConcluding, there is a growing literature revealing the utility of the ERPs in the study of the executive functions of the prefrontal cortex. In fact, even if with a less spatial resolution of neuroimaging scans, recent ERP literature has proven to be able in overcoming some concerns such as the source localization and the presence of artifacts in the anterior sites, that in the past may have limited the EEG investigation of the frontal executive functioning. At the opposite, the background reviewed here on the functional roles and generators of prefrontal ERPs suggest the latter as a promising tool to foster a new-way approach in the neurocognitive study of the executive functions. In fact, the extensive review of Di Russo et al. revealedRP: conception and writing of the work; FD: contribution to writing and conception of the work, critical revision of the text; RP and FD: approved the final version of the manuscript.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Xenopus, the progressive determination of the head is an extremely complex process involving the activation and localized antagonism of a number of interdependent intracellular signaling pathways including the Wingless/Int-1 (Wnt), bone morphogenetic protein (BMP), and nodal-related pathways. The sequence of events that specify the head are: dorsal-ventral polarization and head organizer specification in the blastula; gastrulation; neural induction; and patterning of the anterior-posterior and dorsal-ventral neuraxes. Wnt signaling is required for the specification of the dorsal side initially but is then inhibited within the organizer once it has formed. Similarly, Wnt signaling is required along the length of the neural tube, but must be suppressed at its rostral end for normal brain development. Nodal signaling is also necessary for induction of the mesendoderm, but is subsequently suppressed in its dorsal-anterior extreme to specify head organizer. BMP signaling is required for ventral mesoderm and non-neural ectoderm, and must also be suppressed in the head organizer region and for the differentiation of the ventral midline of the neural tube. Thus, development of the head, and indeed the body plan in general, requires precisely timed and spatially restricted activation and repression of these signaling pathways.The head represents the most dorsal and anterior extent of the body axis. In"}
+{"text": "The degree to which comorbidities affect the diagnosis of prostate cancer is not clear. The purpose of this study was to determine how comorbidities affect the stage at which prostate cancer is diagnosed in elderly white and black men. We obtained data from the Surveillance, Epidemiology, and End Results program of the National Cancer Institute merged with Medicare claims data. For each patient, we estimated associations between stage of disease at diagnosis and each of the 27 comorbidities. The sample included 2,489 black and 2,587 white men with staged prostate cancer. Coronary artery disease, benign hypertension, and dyslipidemia reduced the odds of late-stage prostate cancer. A prior diagnosis of peripheral vascular disease, severe renal disease, or substance abuse increased the odds of being diagnosed with late-stage disease. The study shows some effect modification by race, particularly among white men with substance abuse, cardiac conduction disorders, and other neurologic conditions. The strongest predictors of late-stage prostate cancer diagnosis for both white and black men were age at diagnosis of at least 80 years and lack of PSA screening. Comorbidities do affect stage at diagnosis, although in different ways. Four hypotheses are discussed to explain these findings."}
+{"text": "To increase the timeliness of detection of human cases of the new variant ofCreutzfeldt-Jakob disease (vCJD) and to reduce the risk of transmission, theBrazilian Ministry of Health has established and standardized rules and controlmeasures. These include the definition of criteria for suspect cases, reporting,monitoring, and control measures for illness prevention and transmission.Guidelines to be used by the team of health care staff were published anddistributed to health workers. A detailed proposal for a simplified system ofsurveillance for prion diseases was developed and mandatory reportingintroduced. Additional effort is necessary to increase vCJD case detection, thusmaking it necessary to establish a partnership with health care services forbest identification of suspected cases and dissemination of information to allinvolved in the service dealing with vCJD investigation. Materials derived from ruminants are used as components inthe production of medicines, cosmetics and other health related products.3In view of the recent emergence of the new variant of Creutzfeldt-Jakob Disease (vCJD) inhumans, along with its social and economic repercussions, the Brazilian Ministry ofHealth devised specific activities directed toward prevention of CJD in 2001, bycommissioning a Task Force with the following purposes: to produce a report on CJD, tostandardize the criteria for suspect cases, to standardize notification and monitoring,to suggest measures to reduce the risk of disease transmission within the countrythrough health related products and procedure adopted by health care services, and toprovide useful information for the institutions concerned, as well as for thecommunity.3Examples of health related products made from materials of animal origin include:heparin, glycerine, griseofulvin, insulin, magnesium stearate, stearin and polysorbate.For import of such products, ANVISA hasestablished several legal requirements based on the potential degree of infectivity ofanimal tissue being imported and the risk attributed to the country of origin, definedby the number of infected cases identified in the region.http://www.gov.br/vacalouca/index.htm.ANVISA has published two resolutions: RDC 3O5, of November 14, 2002 and RDC 68 datedMarch 28, 2003.4 The latter establishes conditions for importing, trading, and exposureto consumption of these products while the second measure clarifies rules and proceduresconcerning the proper processing of materials used in patients with clinical suspicionof CJD or vCJD; biosafety procedures for handling of patients, samples and othermaterials potentially contaminated with CJD or vCJD agent; procedures for the handlingof corpses; relative infectivity of the tissues and the body fluids of animals, as wellas definitions for those areas running a geographic risk of transmission. Information onthese measures is available at: In this same period, a few possible suspect CJD cases were reported to the HealthSurveillance Secretariat/Ministry of Health (SVS/MS). At this time however, there was nosurveillance protocol in place. Therefore, in December 2004, the Technical AdvisoryGroup for Prion Diseases (GTA \u2013 Prions) \u2013 was commissioned comprising members of the\u201cNational Health Regulatory Agency\u201d (ANVISA), and the Brazilian association ofneurologists (Academia Brasileira de Neurologia). GTA-Prions developed a detailedproposal for the establishment of the \u201cSimplified System for the Surveillance of PrionDiseases\u201d. The implementation of the system is currently directed towards the timelydiscovery of possible cases of Creutzfeldt-Jakob (CJD) Disease and its variant (vCJD);aiming to reduce under-reporting of prion diseases in Brazil; to better understand theepidemiological profile of this illness throughout the country; to enableepidemiological, clinical and laboratory investigation of reported cases; to adoptindividual and collective protective measures upon detection of new cases of suchdiseases; and to deploy possible prevention and control measures in the event of casesbeing identified within Brazilian territory.At the beginning of 2005, the Technical Advisory Group for Human Prion Diseases(GTA-Prions) put forward the following components of the surveillance system: anotification form with case definitions of the clinical categories of prion diseases; aprotocol for epidemiological, clinical and laboratory investigation of notified cases;the description of epidemiological, clinical and laboratorial information flows withinthe system; the definition of the reference clinics where the system will beimplemented, and the identification of laboratories that are equipped to carry out thetests proposed in the protocol.The National Seminar on Human Prion Diseases was held on June 8, 2005, with theparticipation of members of the Ministry of Agriculture, proposed surveillance actionsfor the Bovine Spongiform Encephalopathies, (BSE) and had the main objective ofsubmitting the surveillance system proposal to neurologists practicing at state leveland to the states\u2019 epidemiological surveillance units. In August the same year, ameeting was held by the GTA-Prion (TAG) to incorporate suggestions presented at theseminar.5 The inclusion of the disease onto thelists of diseases for which suspect cases must be notified to health surveillanceservices to allow further mandatory investigation, raised awareness of the disease tohealth authorities who then began reporting cases in many Brazilian states.On July 07, 2005, the Ministry of Health classified CJD as a disease requiring mandatorynotification through Regulation No. 33/2005, making the Simplified System ofEpidemiological Surveillance of Human Prion Diseases in Brazil official.From August 2005 through December 2006, 30 suspected cases of CJD were reported toSVS/MS, in 12 Brazilian states.5The complexity of some of the required procedures (including biosafety rules), andconsequently the difficulty in establishing a steady flow of samples can delaydefinitive diagnosis, and compromise the outcome of epidemiological investigations.The system still has some limitations, mainly concerning laboratory diagnosis and thevery nature of Human Prion Diseases.Despite the difficulties outlined, the state surveillance services have successfullyadapted their routines during investigations of suspected cases of prion disease andhave managed, with the assistance of reference laboratories and neurology servicesinvolved, to notify a number several of cases given the rareness of the disease andunprecedented nature of the proposal.With regard to laboratory surveillance, collaboration amongst research centers has beenpursued, to devise possible, often highly complex, methodologies. In this context,detection of the 14-3-3 protein achieved by the Laboratory of Hospital dasCl\u00ednicas/School of Medicine of S\u00e3o Paulo University (HCFMUSP), has greatlyaided diagnosis of the sporadic form of the disease, currently representing the soleparametric parameter included in the criteria for probable diagnosis of vCJD, andpresents greater than or equal sensitivity and specificity than typicalelectroencephalogram. In spite of current advances in diagnosing the disease, it isrecommended that other tests available for detection should be used in conjunction.Sc) with thedisease. Two PrPSc strains have also been reported, namely Types 1 and 2, along withthree possible genotypes at codon 129 (Methione homozygous (MM), valine homozygous (VV)and heterozygous], responsible for 6 sub-types of the disease. The majority ofsporadic CJD cases are MM1 or MV1.Molecular diagnosis is being carried out by the Ludwig Institute, through purification ofthe DNA obtained after leukocyte separation. Direct sequencing is performed using HighResolution Liquid Chromatography (DHPLC). Polymorphism studies and mutation research inthe human prion gene (PRNP) can be used as an aid to diagnose CJD, whereby researchershave associated the occurrence of polymorphisms at codon 129 and protease resistantchemical-physical properties of cerebral prion protein (PrPConcerning histopathological diagnoses, sending of material to Rio de Janeiro FederalUniversity laboratory is in place, where macroscopic studies of the brain, frontal lobefragments, basal ganglia, temporal lobe, occipital lobe, mesencephalon, bridge, bulb andcerebellum are being carried out. The diagnosis is considered positive for CJD when thefollowing 3 pathognomic characteristics of the disease are identified: Spongiosis,neuronal loss and gliosis. The microscopic aspect reveals spongiosis of the cortex dueto reactive astrocytic gliosis, in proportion to the degree of neuronal loss.Constant improvements in surveillance activities are aimed primarily at increasing thesensitivity of the system for early detection of vCJD cases, in view of the burden theseplace on the Brazilian health system. The decision to include other prion disease in thesystem stems from the syndromic features displayed by these pathologies, particularly intheir initial stages, which make the devising of a notification form exclusively forsuspected cases of the new variant unrealistic. Thus, all prion diseases are reported.At a later stage, cases not meeting the criteria for vCJD are excluded and may or maynot call for control responses, in addition to the natural interest for clinical andepidemiological research.The epidemiological notification form and flow of delivery of samples to the laboratoryare shown below."}
+{"text": "Cigarette smoke exposure is well known to cause cardiovascular and airway diseases, both of which are leading causes of death and disability in the world. However, the molecular mechanisms that link cigarette smoke to cardiovascular and airway diseases are not fully understood. Vascular and airway hyper-reactivity plays an important role in the pathogenesis of cardiovascular and airway diseases. Recent studies have demonstrated that endothelin receptor up-regulation mediates vascular and airway hyper-reactivity in response to endothelin-1 in cardiovascular and airway diseases. In the vasculature and airways, the main functional consequences of up-regulated endothelin receptors by cigarette smoke exposure are enhanced contraction and proliferation of the smooth muscle cells, which subsequently result in abnormal contraction (spasm) and adverse proliferation (remodeling) of the vasculature and airways. The structural alteration by adverse remodeling involves changes in cell growth, cell death, cell migration, and production or degradation of the extracellular matrix. This review focuses on cigarette smoke exposure that induces activation of intracellular mitogen-activated protein kinase (MAPK) and subsequently results in the up-regulation of endothelin receptors in the vasculature and airways, which mediates vascular and airway hyper-reactivity, one of the important pathogenic characteristics of cardiovascular and airway diseases. Understanding the molecular mechanisms of how cigarette smoke causes up-regulation of endothelin receptors in the vasculature and airways may provide new strategies for the treatment of cigarette smoke\u2014associated cardiovascular and lung diseases."}
+{"text": "The pneumonia team at the Bill & Melinda Gates Foundation congratulates the Pneumonia Etiology Research for Child Health (PERCH) study on delivering on their grant to collect high-quality data from thousands of children with World Health Organization\u2013defined severe and very severe pneumonia and from controls in 9 diverse sites in 7 low- and middle-income countries. This supplement sets the foundation to understanding this complex study by providing an in-depth description of the study methodology, including discussion of key aspects such as antibiotic pretreatment, chest radiograph interpretation, utility of induced sputum in children, measurement of pathogen density, and use of C-reactive protein, and how these affect pneumonia etiology. Haemophilus influenzae type b (Hib) vaccine and pneumococcal conjugate vaccine (PCV) in the poorest countries, it remains the leading killer of children <5 years of age, with an estimated 900000 deaths per year in 2013 [The premise under which the Pneumonia Etiology Research for Child Health (PERCH) study was funded by the Bill & Melinda Gates Foundation deserves consideration . In 2008A large part of the funding premise was that obtaining a comprehensive set of specimens from cases and controls, applying state-of-the art laboratory tests, including use of a new, multiplex real-time polymerase chain reaction assay targeting an extensive array of >30 potential pathogens, and standardizing methodologies across a range of epidemiologic and geographic settings in low- and low- to middle-income countries, would update our understanding of pneumonia etiology and mortality , 4.Many of these tests, particularly the molecular technologies, were not available to a previous large study conducted 30 years ago . The US H. influenzae) post-PCV rollout remains to be determined. The use of a serotype-specific pneumococcal assay in children, like the one used to evaluate vaccine impact on pneumonia in adults [We have made enormous progress and are getting closer to determining the etiology of pneumonia, but there are still many unknowns. Future studies based on patterns of gene expression by these bacteria may be of interest, but unfortunately RNA was not collected as part of the study. The role in nonbacteremic pneumonia of non-vaccine-type pneumococci definition of standardized alveolar consolidation pneumonia , 12 alloA great strength of PERCH is the storage of specimens from cases and controls that may be useful for evaluation of newly discovered pathogens, and also the evaluation of biomarkers. The biobank repository that PERCH has created may yet hold more answers for future technologies to unravel further the etiology of childhood pneumonia.The detection of bacterial pneumonia remains crucial to understanding bacterial pneumonia burden and to improving treatment algorithms. Transcriptional profiling of host genes has been recently shown to be superior to the more established biomarker, procalcitonin, in adults , althougPreliminary data from the South African PCV efficacy trial suggest that, at least in an urban cohort of children, pneumonia mortality in infants is predicted by a low oxygen saturation in arterial blood together with indicators of undernutrition such as low weight for age and refusal of feeds. This Respiratory Index of Severity in Children (RISC) score has beenDespite the reduction in pneumonia\u2014related childhood deaths in infants <5 years of age, less impact has been seen on pneumonia- and sepsis-related mortality among neonates , 3. PERCIn view of the challenges, ascertaining the etiology of pneumonia, especially for commonly carried bacterial pathogens in children, is a daunting task. PERCH has approached this task with a thoughtful study design and state-of-the-art diagnostics. This study has achieved many important milestones including the standardization of methods in a complex multicountry study; the study paid careful attention to quality control; it delivered diagnostics through technology transfer to local laboratories; and it pulled together a unique collaboration of multiple investigators and collaborators. With the foundation set by the articles in this supplement, we look forward to the analysis of PERCH data in the future and its contribution to our understanding of both bacterial and viral etiologies of pneumonia."}
+{"text": "The Ebola outbreak in West Africa underlined the urgent need for integration of public health systems, including the establishment of national laboratory networks, surveillance systems, and health research institutions at all levels of service delivery. The integration schema presented here would assist in driving the immediate steps needed for integration of public health systems, particularly laboratory networks, in support of the implementation of International Health Regulations and the Global Health Security Agenda in the African region. Increased funding, political willingness from countries, and coordination through enhanced technical assistance from international partners, are critical in achieving this objective. These concerns and challenges are not limited to the three countries that experienced the recent crisis. In general, challenges faced by public health systems in Africa, especially at the primary care level, include: (1) lack of laboratory facilities integrated across diseases and services; (2) poor funding and uptake of new rapid diagnostic technologies; (3) overemphasis on resourcing vertical disease-control programmes; (4) patient and health system delays; and (5) lack of fully-integrated electronic disease surveillance systems.The recent Ebola virus disease crisis in three West African countries \u2013 Guinea, Liberia and Sierra Leone \u2013 highlighted several concerns with respect to the functioning of public health systems in the resource-constrained settings of Africa.4 Donors and partners in several countries promote \u2018parallel\u2019, disease-specific laboratories, especially for the major diseases of poverty , as governments fail to address deficiencies. In a few countries, government-run centres-of-excellence were developed as public health research institutes with support from international partners.5 In some countries, environmental health protection and food safety services, as well as national drug testing laboratories, are also administered under public health services.Laboratories play a critical role in the prompt diagnosis of diseases and treatment monitoring. The specific administrative structures of public health laboratories within Ministries of Health differ among countries in Africa. In the majority of countries in the African region, laboratories fall under a directorate, department or unit for national laboratory services, which are housed within the Ministry of Health. Difficulties in coordination of laboratory services with disease control programmes have been observed in such conventional administrative structures. District and below district-level hospital laboratories act as the default \u2018integrated\u2019 laboratories, due to inadequate staff levels, skill sets and infrastructure. Intermediate-level laboratories are practically district-level laboratories and act as regional laboratories, but without the necessary functional dichotomy. Primary health centre laboratories are poorly equipped for rapid diagnosis or rapid response; and national-level laboratories are not fully networked with district-level laboratories for the functional management of laboratory networks.6 This has resulted in disparate and loosely-organised skill deployment, resource wastage and redundancies within the system. Laboratory workers with the cross-cutting skills to effect integrated services have been systematically under-utilised, as they are increasingly engaged in services for single-disease programmes.7The lack of adequate resources, both financial and technical, has contributed to undue prioritisation of key diseases, which has in turn resulted in vertical disease control programmes and laboratories . The absence of the integration of policy formulation, strategy and budgeting have been compounded by competing disease funding priorities and has created disjointed laboratory services in several developing countries.9 include: (1) under-resourced infrastructure, including equipment; (2) poor laboratory linkages to clinical services, resulting in low test demand and suboptimal utilisation of modern diagnostics for clinical decisions; (3) poor laboratory quality control and assurance systems; (4) a paucity of leadership to provide adequate policy intervention, technical guidance and supportive supervision; and (5) inadequate or absent national laboratory networks. These issues impact staff motivation and the overall credibility of laboratory services.Some of the key issues plaguing public health laboratoriesIn spite of the functional challenges in the delivery of services, there is an urgent need to integrate already-existing public health technical capacity within countries in the African region. Effective linkages between public health institutes and laboratories, in addition to optimisation of services, would facilitate early detection of emerging antibiotic resistance, cancers and other non-communicable diseases, as well as periodic epidemiological disease surveys, which would inform policy changes.10 works to facilitate the collaboration and strengthening of public health research institutes affiliated to the Network of African National Public Health Institutes in Africa.11 Present membership of the network comprises 16 institutions, including the Kenya Medical Research Institute, the Uganda Viral Research Institute, and the South African National Institute for Communicable Diseases. In addition, in some countries in Africa, private-sector clinical pathology laboratories, either corporate chains, or individual stand-alone laboratories, offer services to people who can afford quality care for a premium . Systematically engaging African national public health research institutions and centres of excellence, as well as private-sector laboratories, with national laboratory systems and integrated surveillances systems would enhance utilisation of available laboratory and research capacities, and management of resources.The Network of African National Public Health Institutes12 The Integrated Disease Surveillance and Response (IDSR) programme, a comprehensive regional framework for strengthening national public health surveillance and response systems in Africa, was initiated in 1998. In 2006, WHO Regional Office for Africa (WHO AFRO) Member States recommended that IHR 2005 be implemented using the IDSR framework. The IDSR strategy is aimed at integrating the collection, analysis, and reporting of data on 40 priority diseases and conditions at different levels of the health system, including relevant laboratory data. Over the past decade, the IDSR strategy has successfully reduced parallel disease-specific surveillance programmes, increased the capacity of central laboratories, and unified disease reporting matrices among implementing countries in the African region. It has enhanced adherence to IHR by encouraging and establishing early disease warning and real-time event management systems at the national level, including prompt reporting to the WHO through national IDSR focal point.In 2005, the IHR mandated countries to detect, assess and respond to all events that may constitute public health emergencies of international concern, and report the events to the WHO.14 In hindsight, such shortcomings may have contributed to the state of unpreparedness within the West African sub-region that increased vulnerability to the recent Ebola virus disease outbreaks.IHR core capacity target dates have been revised twice, first to 2014 and then to 2019 after the Ebola virus disease outbreak in West Africa. As of 2014, two-thirds of countries had not met their core capacity requirements and 48 countries had not responded to WHO queries with respect to their state of readiness.15 Provision of this level of coordination for active surveillance, timely analyses and response, especially for events of public health significance, are anticipated through the establishment of the Centres for Disease Control and Prevention in Africa.16Recent successes in efforts to strengthen African laboratory networks, laboratory infrastructure, rapid diagnostic technologies, and quality management systems need to be comprehensively integrated into the core functions of the IDSR through new regional structures or coordination mechanisms. Furthermore, enhanced research and development support through already-existing public health research institutes and centres of excellence would not only provide inter-disciplinary technical skills and capacity to staff for quality services and accurate diagnosis, but also assist in the systematic introduction of new and rapid diagnostic technologies and the provision of periodic epidemiological research surveys that will inform efficient planning for health services. Surveillance mechanisms need high-level coordination at the sub-regional and national levels, with frequent modification.17 To effect coordination, 11 action packages were designed and entrusted to contributing countries for enlisting political leadership and action. Action packages are bound by a Prevent\u2013Detect\u2013Respond framework. There is a need to develop in-country mechanisms and responsibilities to address the GHSA. Integration of health systems across diseases and structures would provide a path for this. It is envisaged that the capacity to respond to the objectives of the GHSA would depend on maximising detection and surveillance capabilities through integrated laboratory frameworks within target countries.The Global Health Security Agenda (GHSA), formed in 2014 in response to the Ebola virus disease crisis and supported by high-level international collaboration, is a multi-country concerted effort toward creating a world safe and secure from infectious disease threats.18Integration envisages a process whereby regional and country-level governmental services, including multi-dimensional functions such as health financing, human resources, strategic planning, and others, along with international developmental partners and donors, work closely to promptly reach and sustain the goal of health security for all. In the resource-limited settings of Africa, integrating and coordinating laboratory services and different service components of national health structures would lead to efficient use of resources and building of laboratory networks, as well as ensuring that laboratories contribute to national disease surveillance and control at all levels of health services .18In principle, integration of laboratory services should be achieved first at the country level, followed by the sub-regional level, as integration aims to best utilise the available resources in an unbiased fashion. The Ebola virus disease crisis has reinforced the need to act decisively on a new regional and global structure, as well as the necessity for integrating in-country and regional health systems under one unified, rapid service delivery mechanism, with early warning, detection and response capabilities. Political will and fiscal and administrative commitments are urgently required from governments to ensure that cross-cutting integration of health systems happens and that the IHR core requirements and the GHSA are met."}
+{"text": "Cerebral palsy (CP) is the most common cause of chronic disability that restricts participation in areas of occupations for children. The main aim of rehabilitation is enhancement of their clients for participation in occupations. The aim of this study was to overview of the factors influencing the participations of children with CP in Iran. A systematic, evidence-based process (Duffy 2005) was used. For data gathering electronic databases including Google scholar and Iranian and foreigner famous journals in the fields of pediatrics, were used. The main key words for search were Activity of Daily Living (ADL), Instrumental Activity of Daily Living (IADL), play, leisure, work, rest/sleep, social participation, and education. All the papers of this study were about the factors influencing the participation of Iranian CP children during 2000-2016. Totally, 156 articles were found eligible as for Iranian CP children study, of which 100 articles were discarded. Because of repetitive and duplicability of some articles, 17 articles were removed as well.The most studies about Iranian CP children participations in life areas were in the ADL area of participation (N=12), and the lowest articles were in the area in the field of: Work (N=2), play (N=2), and sleep/rest (N=2). Most of the occupational therapists do not focus on the all life areas.In Iran, many researchers do not pay attention to the participation of CP children. Many articles just paid attention to the sensory, motor or cognitive components of their clients. Cerebral palsy (CP) is a general term used to describe motor function disorders, beginning early in life. This disability is the result of injury or dysfunction of the brain . This unCP causes or its risk factors are divided into several categories as pregnancy age under 20 years, birth weight below 2500 gr, the risk factors related to mother, factors related to pregnancy and fetal factors are common causes of CP disorder . According to the high prevalence of CP and disorders associated with that and eventually needs to follow disorders occur in people, knowing about their needs and try to decreasing their needs seems necessary. Knowing and understanding their demands, especially their expectation in the field of rehabilitation is very important . Among tActivity Daily of Living (ADL): Activities oriented toward taking care of one\u2019s own body. These activities are fundamental to living in a social world; they enable basic survival and well-being : Activities to support daily life within the home and community that often require more com\u00acplex interactions than those used in ADLs was used . For dat1. Electronic databases: Medlin, PubMed, Google scholar, CINAHL, OVID Medline, CINAHL, Cochrane, ProQuest, Up to Date, Web of Science, OT search, OT direct, Pedro, SID, Magiran, IRAN MEDEX, MEDLIB and Iran doc.2. Iranian and foreigner famous journals in the fields of pediatrics as follows: Iranian Journal of Pediatrics (IJP), Iranian Rehabilitation Journal (IRJ), Iranian Journal of Child Neurology (IJCN), Archive Physical Medicine and Rehabilitation, Developmental Medicine, Child Neurology, Physical and Occupational Therapy in Pediatrics, American Journal of Occupational Therapy. The key words used individually or in combination according to the MESH were as follows: Cerebral palsy (CP), participation, Iranian CP children, Activity of Daily Living(ADL), Instrumental Activity of Daily Living(IADL), play, leisure, work, rest/sleep, social participation, education, quality of life, occupational therapy, OT, physical therapy, rehabilitation, CP participation, OTPF, ICF, participation assessment, participation scale. The inclusion and exclusion criteria are categorized in According to the accessible databases, 156 articles were found in the scope of the study. Because of repetitive and duplicability of some articles, 17 articles were discarded. Thirty-nine articles were included . Some arThe aim of this study was to review the articles about Iranian CP children in different life areas. Participation promoting in different areas of occupations independently is the result and main outcome of rehabilitation services. Rehabilitation intervention in participating in life areas are more important that intervention in cognitive, motor, sensory, perceptual components (30). Furthermore, this systematic review helps to promote the rehabilitation interventions in the participations areas independently in contrast of rehabilitation interventions just on motor, sensory, or cognitive components. In this study, the most studies about Iranian CP children participations in life areas were in the ADL area of participation (N=12), and the lowest articles were in the area in the field of: Work (N=2), play (N=2), and sleep/rest (N=2). These findings can be inferred from the: 1) many of occupational therapist or other rehabilitation members, has not enough information about other life areas, many of them just know about ADL areas of participation; 2) maybe the parents of CP children do not know about the main aim of rehabilitation; 3) many of therapists do not know about occupation based practices; 4) the therapists do not know about the sufficient participation assessment tools. The most effective studies on the participation of Iranian CP children are as follows:1) Field of ADL: The Bobath technique, Conductive Education, and education to parents, high level of GMFCS of CP Children, Occupational Therapy Home Program in the form of workshops and educational pamphlets with telephone follow-up, self-steam and self-confidence education, psychological rehabilitation of children with cerebral palsy, high-level of upper extremity function, physical fitness, enhancement of parents knowledge about how to take care of a child with CP professionally, spasticity reduction, appropriate handling can be mentioned as the facilitators of the participation of Iranian CP children in ADL and factors consisting: poor internal physical modification at home, poor practical training to family members and lack of assistive device can be mentioned as barriers of participation of Iranian cerebral palsy children in ADL (n in ADL -23.2) Field of IADL: Minimizing barriers and providing more facilitators, appropriate handlings, right to access to housing, are the facilitators of the participation of Iranian cerebral palsy children in IADL. Participation diversity and intensity of CP children in the field of IADL are lower than their normal peers are (eers are -26.3) Field of Play: Participation diversity and intensity of CP children in the field of play are lower than their normal peers, and right to accesses to play and sport can promote their participation in the field of play Field of leisure: The participation enjoyments of CP children in leisure activities are lower than other children, and factors such as: lack of access and benefits of facilities to participate in leisure activities, individual , structural (Accessibility to the public facilities) and socio cultural , are the effective barriers to participation in leisure activities Field of rest/Sleep: the factors such as: enhancement of parent\u2019s knowledge about how to take care of a child with CP professionally and right to assess and benefits of facilities to participate in sleeping and rest activities of CP children had effective influence on participation of CP children in the field of rest/sleep Field of Education: The factors such as: poor handling at school because of inappropriate physical structure, poor attention to education and environmental barriers in two groups: 1) policies ; 2) physical and structural , leads to poor education of CP children and minimizing barriers and providing more facilitators to access to education and information improves the participation of education Field of Work: Minimizing barriers and providing more facilitators to access to job leads to work participation Field of social participation: The participation enjoyments of CP children in the field of social participation activities are lower than other children are. Factors such as: 1) lack of access and benefits of facilities, individual , structural (Accessibility to the public facilities) and socio cultural barriers; 2) poor handling at society consist of: psychological and religious abuse of CP children, inadequate government\u2019s supports and inadequate civil facilities for CP children; 3) poor attention of rehabilitation members team, and; 4) environmental barriers in two groups: 1) policies ; 2) physical and structural , leads to poor social participation of CP children the factors such as; 5) improvement in gross motor functions of CP children; 6) right to access to medical care and rehabilitation and right to access to places and transportation system; 7) psychological rehabilitation of children with cerebral palsy; 8) high level of upper extremity function; and 9) spasticity reduction leads to improvement of social participation activities of CP children that all of them are important in enhancement of quality of life of CP children. None of them is preferred over another. According to that for good intervention in participation of CP children, using good and properties assessment tools of participation is important. We achieved that in Iran many researchers did not pay attention to the participation of CP children and many articles just paid attention to the sensory, motor or cognitive components of their clients. Among the life areas of participation the most focuses is on the ADL and social participation areas and the other areas are least important. Therefore, the suggestion of this study is that the researchers pay attention to the other areas of occupations and life areas of Iranian CP children because none of these areas are preferred over another."}
+{"text": "Nanoscience and Nanotechnology became the trend of the 21st century, influencing many areas such as electronics, biology, medicine, aerospace, agriculture, and the engineering of novel materials. Recently a new aspect of nanoscience and nanotechnology appeared and has been rising rapidly ever since: functional nanostructures, intelligent nanostructures for targeted applications. In the present Thematic Series a bright spectrum of such targeted functional nanostructures is presented demonstrating the unique possibilities of engineering at the nanometer scale. The self-organization of nanoparticles, nanowires or nanotubes and the introduction of those structures into various materials made it possible to solve long-standing problems. Examples presented in this Thematic Series are:the problem of treatment of multidrug-resistant tuberculosis, which can be resolved using the invented nano-encapsulated medicines penetrating through the cell membrane of the tuberculosis bacilli ,new applications of graphene-based nanostructures \u20134,smart nanoparticles with antitumor activity ,photonic crystals and flexible membranes \u20137 for viA lot of other unusual applications of functional nanostructures are presented in over 40 articles of this Thematic Series, giving the possibility to gain new knowledge about the rapidly developing area of nanoscience and nanotechnology.The idea to this Thematic Series appeared during the international conference \u201cNANO-2016: Ethical, Ecological and Social Problems of Nanoscience and Nanotechnologies\u201d, which took place in May 2016 in Chisinau, Moldova. It presented new technological approaches for assembling of functional nanostructures and nanomaterials with special properties. As the guest editor of this Thematic Series I would like to thank all colleagues and highly experienced experts who submitted their manuscripts with novel results, new ideas, and technological approaches. I believe that this Thematic Series will attract attention of scientists, technologists, engineers and will find many readers. The professional and friendly editorial support by the Production Team of the Beilstein-Institut is greatly acknowledged.Anatolie SidorenkoChisinau, January 2017"}
+{"text": "In plants, the chloroplast is the organelle that conducts photosynthesis. It has been known that chloroplast is involved in virus infection of plants for approximate 70 years. Recently, the subject of chloroplast-virus interplay is getting more and more attention. In this article we discuss the different aspects of chloroplast-virus interaction into three sections: the effect of virus infection on the structure and function of chloroplast, the role of chloroplast in virus infection cycle, and the function of chloroplast in host defense against viruses. In particular, we focus on the characterization of chloroplast protein-viral protein interactions that underlie the interplay between chloroplast and virus. It can be summarized that chloroplast is a common target of plant viruses for viral pathogenesis or propagation; and conversely, chloroplast and its components also can play active roles in plant defense against viruses. Chloroplast photosynthesis-related genes/proteins (CPRGs/CPRPs) are suggested to play a central role during the complex chloroplast-virus interaction. Plant viruses, as obligate biotrophic pathogens, attack a broad range of plant species utilizing host plants' cellular apparatuses for protein synthesis, genome replication and intercellular and systemic movement in order to support their propagation and proliferation. Virus infection usually causes symptoms resulting in morphological and physiological alterations of the infected plant hosts, which always incurs inferior performance such as the decreased host biomass and crop yield loss.The most common viral symptom is leaf chlorosis, reflecting altered pigmentation and structural change of chloroplasts. Viral influence on chloroplast structures and functions usually leads to depleted photosynthetic activity. Since the first half of the twentieth century, an increasing number of reports on a broad range of plant-virus combinations have revealed that virus infection inhibits host photosynthesis, which is usually associated with viral symptoms fluctuation of chlorophyll fluorescence and reduced chlorophyll pigmentation , affect chloroplast ultrastructure and symptom development (see below).N. tabacum leaves have been demonstrated as determinants of symptom phenotypes for a much long period protein in tobacco plants results in a virus-like chlorosis symptom associated with the abnormal thylakoid stacks Figure , Table 2Studies on the effect of virus infection on expression of chloroplast proteins at the transcriptomic and proteomic levels provide insights into the molecular events during symptom expression. In the susceptible plant response to virus infection, the majority of significantly changed proteins are identified to be located in chloroplasts or associated with chloroplast membranes. Most of them are down-regulated and correlate with the severity of chlorosis Dardick, . During As the biosynthesis of CPRPs is a complicated process with a series of steps Seidler, , plant vflavum strain leads to a total depletion of PS II core complex and OEC, including chloroplast-encoded CPRP PsbA and nuclear-encoded CPRPs LhcB1, LhcB2 and PsbO. However, the PsbA mRNA accumulated to a higher level in the infected leaves gene transcripts and down-regulates its expression by RNA silencing with blocked chloroplast development and depletion of chloroplast-encoded proteins RNA which can disturb chloroplast function and induce disease symptoms pathway for targeting CPRGs transcripts. The tenuivirus RSV, causing a devastating disease in East Asia countries, hijacks CPRP during infection and perturbs photosynthesis to fulfill the transport via symplastic routes within plant hosts , a gene involved in the JA signaling pathway, accelerates the development of symptoms caused by co-infection of PVX and PVY, and accumulation of viral titers at early stages of infection in the chloroplast membranes , and the photosynthetic electron transport chain is responsible for ROS generation Asada, . Superoxs Asada, . The burs Asada, . Chlorops Asada, .N-mediated TMV resistance response. Further, a number of stromules surround nuclei during plant defense response, which is correlated with the accumulation of chloroplast-localized defense protein NRIP1 and H2O2 in the nucleus. In the absence of virus infection, suppression of chloroplast CHUP1 induces stromules and enhances programmed cell death constitutively protein of potyviruses is required for virus replication and cell-to-cell movement. CI protein from PPV and TVMV interacts with photosystem I PSI-K protein Table , the proL88 with high RNAi suppressor activity , a rhodanese sulfurtransferase which is destined to chloroplast under normal conditions, associates with both the tobacco N receptor and 126 K replicase during TMV infection; its relocation from chloroplast to cytoplasm and nucleus is required for N-mediated resistance to TMV , the National Basic Research Program of China (2014CB138400), the Special Fund for Agro-scientific Research in the Public Interest of China (201303028), and the China Postdoctoral Science Foundation (2014M550049), the Initial Funding of Zhejiang Academy of Agricultural Sciences, and the Cultural Funding for Youth Talent of Zhejiang Academy of Agricultural Sciences (2015R21R08E03).The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Many physiological processes fluctuate throughout the day/night and daily fluctuations are observed in brain and peripheral levels of several hormones, neuropeptides and transmitters. In turn, mediators under the \u201ccontrol\u201d of the \u201cmaster biological clock\u201d reciprocally influence its function. Dysregulation in the rhythmicity of hormone release as well as hormone receptor sensitivity and availability in different tissues, is a common risk-factor for multiple clinical conditions, including psychiatric and metabolic disorders. At the same time circadian rhythms remain in a strong, reciprocal interaction with the hypothalamic-pituitary-adrenal (HPA) axis. Recent findings point to a role of circadian disturbances and excessive stress in the development of obesity and related food consumption and metabolism abnormalities, which constitute a major health problem worldwide. Appetite, food intake and energy balance are under the influence of several brain neuropeptides, including the orexigenic agouti-related peptide, neuropeptide Y, orexin, melanin-concentrating hormone and relaxin-3. Importantly, orexigenic neuropeptide neurons remain under the control of the circadian timing system and are highly sensitive to various stressors, therefore the potential neuronal mechanisms through which disturbances in the daily rhythmicity and stress-related mediator levels contribute to food intake abnormalities rely on reciprocal interactions between these elements. Circadian (~24 h) fluctuations of different components of the external environment, in particular light-dark conditions, shape animals' physiology and behavior for the optimal synchronization to the cyclical changes encountered. As a consequence of this influence, biological processes called circadian rhythms developed in most organisms , the anterior lobe of the pituitary gland, and the adrenal cortex. PVN neurons synthesize corticotrophin-releasing hormone (CRH) and arginine vasopressin (AVP), which stimulates secretion of adrenocorticotrophic hormone (ACTH) from the anterior pituitary and ACTH controls the release of glucocorticoids (GCs) from the adrenal cortex of the hypothalamus is a key appetite regulatory center Banks, . It contAcute and chronic icv NPY administration result in hyperphagia, obesity and changes in metabolism neurons , by statutory funds of the Institute of Pharmacology, Polish Academy of Sciences (GH) and by National Health and Medical Research Council of Australia Project Grant 1067522 and Research Fellowship 1005985 (ALG).The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "According to the World Health Organization, high-impact diseases (HID) including cardiovascular diseases, metabolic diseases, and a variety of types of cancer are the top challenge to the entire medical community globally . TherapeRecently, omics technologies including genomics, proteomics, transcriptome, and metabolomics have been developed and improved significantly. This is especially true for RNA sequencing together with the system-based pharmacology, which has overcome the barriers and greatly improved our understanding of the pharmacology of natural products for the prevention and treatments of HID.For example, Shuanglong Formula (SLF) and Qishen granules (QSG) are well-studied natural products for the treatment of cardiovascular diseases. Multiomics including metabolomics and comparative proteomics were performed to investigate the SLF's effects on the regulation of myocardial energy metabolism , 4. Y. WIn addition, new omics approaches are also developed to identify the active indigents and potential targets of natural products. A novel approach for relative and absolute quantitation was established to specifically and comprehensively identify the protein targets of andrographolide (Andro) , and BATRheum palmatum L., Gardenia jasminoides Ellis, and Artemisia annua L., had an improved therapeutic effect on hepatic injury syndrome through regulating dynamic patterns in metabolic biomarkers and target proteins and activating both intrinsic and extrinsic pathways [Due to the diverse components of natural products, systematically integrating the readouts of genomics, transcriptomics, proteomics, and metabolomics will dramatically facilitate our understanding of molecular mechanisms of natural product actions, as well as identifying biomarkers or targets for future research and clinical practice. Recently, an integrated proteomic and metabolomics research demonstrated that a combination of natural products comprising of pathways .Unsurprisingly, more omics studies are currently under way to reveal the molecular mechanisms of treatments using natural products. The current issue is a collection of selected works that use the approaches of genomics, metabolomics, RNA sequencing, and network pharmacology to comprehensively elucidate the natural product pharmacology in the treatments of HID including heart failure, diabetes and its complications, nonalcoholic fatty liver disease, and depression. It is a timely update to our knowledge on both the molecular mechanism and novel drug discovery for HID.Yong WangQin FengPeijian HeLixin ZhuGuoxun Chen"}
+{"text": "Quantitative structure-activity relationship (qSAR) models are used to understand how the structure and activity of chemical compounds relate. In the present study, 37 carboquinone derivatives were evaluated and two different qSAR models were developed using members of the Molecular Descriptors Family (MDF) and the Molecular Descriptors Family on Vertices (MDFV). The usual parameters of regression models and the following estimators were defined and calculated in order to analyze the validity and to compare the models: Akaike?s information criteria (three parameters), Schwarz (or Bayesian) information criterion, Amemiya prediction criterion, Hannan-Quinn criterion, Kubinyi function, Steiger's Z test, and Akaike's weights. The MDF and MDFV models proved to have the same estimation ability of the goodness-of-fit according to Steiger's Z test. The MDFV model proved to be the best model for the considered carboquinone derivatives according to the defined information and prediction criteria, Kubinyi function, and Akaike's weights."}
+{"text": "Endemism is an important concept in biogeography and biodiversity conservation. China is one of the richest countries in biodiversity, with very high levels of plant endemism. In this study, we analysed the distribution patterns of diversity, the degree of differentiation, and the endemicity of Chinese endemic seed plants using the floristic unit as a basic spatial analysis unit and 11 indices. The analysis was based on distribution data of 24,951 native seed plant species (excluding subspecies and varieties) and 12,980 Chinese endemic seed plant species, which were sourced from both specimen records and published references. The distribution patterns of Chinese endemic flora were generally consistent but disproportionate across China for diversity, degree of differentiation and endemicity. The South Hengduan Mountains Subregion had the highest values for all indices. At the regional level, both the Hengduan Mountains and the Central China regions were highest in diversity and degrees of differentiation. However, both the rate of local endemic to native species and the rate of local to Chinese endemic species were highest in the Taiwan Region and the South Taiwan Region. The Hengduan Mountains Region and the Central China Region are two key conservation priority areas for Chinese endemic seed plants. Thus, the regionalization of Chinese flora is also difficult and challenging. Wu was the first researcher to publish a comprehensive regionalization of Chinese flora based on pioneering works that had been published over decades. He classified Chinese flora into 2 kingdoms, 7 subkingdoms and 22 regionsAs described previously, many studies of biodiversity conservation have been conducted across China. However, they primarily used an administrative unit, particularly at the provincial level, as the spatial unit for analysis rather than a natural geographic or floristic unit. It is better to identify conservation priority areas on the basis of a natural geographic or floristic unit because such classifications substantially reduce the influence of and definition by human factors. Therefore, using the floristic unit as the basic unit of spatial analysis, we examined the distribution patterns, diversification and degrees of differentiation of Chinese endemic seed plants and identified conservation priority areas across the country for conservation planning and future effective conservation actions.Based on a previously published list of Chinese endemic seed plant speciesWe digitized the map of floristic regions of ChinaMeasurement of species diversity was based on species richness, i.e., the number of species in each spatial units)g)sf)The degrees of differentiation among endemic flora were represented by differentiation indices, which included a species differentiation index .where Proportions of endemism were calculated to compare the distribution patterns of endemic flora in China. These proportions included the rate of Chinese endemic to native species (RCENS), the rate of local endemic to native species (RLENS) and the rate of local to Chinese endemic species (RLCES).s), the number of genera (Ng), the number of families (Nf), the number of local endemic species (NLES), the degree of species differentiation (Ds), the degree of genus differentiation (Dg), the degree of species\u2013family differentiation (Dsf), weighted endemism (WE), the rate of Chinese endemic to native species (RCENS), the rate of local endemic to native species (RLENS) and the rate of local to Chinese endemic species (RLCES). These 11 indices were standardized by dividing their maxima and then summed to produce a total value. All floristic units were ranked according to their total value, and conservation priority areas for Chinese endemic seed plants were identified according to each unit\u2019s rank. The spatial floristic unit was used to prioritize conservation areas, and the units with the highest total values were the tip-ranked areas because higher values were determined by greater endemic species richness and the degree of differentiation and endemism. In this study, the top eight floristic units were designated conservation priority areas.To summarize, the 11 indices were as follow: the number of species and the Central Yunnan Plateau Subregion (IIIE13a) contained the most families . These tChinese endemic seed plant species were also unevenly distributed across the country. The South Hengduan Mountains Subregion (IIIE14b) was the richest, with 5177 species of Chinese endemic seed plants, which was followed by the Central Yunnan Plateau Subregion (IIIE13a), with 3688 species . The PamThe distribution patterns of Chinese endemic flora at family, genus and species levels across the country were generally consistent . The patThe degree of differentiation among endemic seed plant species was unevenly distributed across China . The higThe spatial distribution patterns of Chinese endemic plant species, local endemic species and weighted endemism were significantly correlated (P\u2009<\u20090.001) , and allThe endemic rates were also unevenly distributed across the country . The ratThe South Hengduan Mountains Subregion (IIIE14b), the Central Yunnan Plateau Subregion (IIIE13a), the Sanjiang Valley Subregion (IIIE14a) and the North Hengduan Mountains Subregion (IIIE14c) had the highest total values of all floristic units . These sThe degree of species differentiation among Chinese endemic seed plants was unevenly distributed across the country. Although the degree of differentiation was not high in many parts of China, it was particularly high in the Hengduan Mountains12The rate of Chinese endemic to native plant species was highest in the South Hengduan Mountains Subregion (IIIE14b), followed by the North Hengduan Mountains Subregion (IIIE14c). Based on this result, endemicity of flora in the Hengduan Mountains is very high across China. However, the South Hengduan Mountains Subregion and the North Hengduan Mountains Subregion differ in endemicity. The terrain of China from west to east forms a flight of three steps, commonly called the \u201cGeomorphological Three Steps\u201d. The First Step mainly encompasses the Qinghai-Tibet Plateau, north to the Kunlun, Aerhchin, and Qilian mountains and east to Min, Qionglai, Daxue and Hengduan mountains. The Second Step lies between the Hengduan Mountains to the west and the Daxing\u2019anling, Taihang, Funiu, and Xuefeng mountains to the east, primarily including the Inner Mongolian Plateau, Loess Plateau, Qinling Mountains, Sichuan Basin, and Yun-Gui Plateau. The Third Step covers the entire area east from the Second Step, and includes the Northeast China Plain, North China Plain, Middle-lower Yangtze Plain, Jiangnan hills, Nanling Mountains, Guangdong and Guangxi hills, Zhejiang and Fujian hills as well as Taiwan and HainanThe rate of local endemic to native plant species was highest in the Taiwan Region (IVG19) and the South Taiwan Region (IVG20), which indicates that the flora of Taiwan is distinctive. The rate of local to national endemic plant species was the highest in the Taiwan Region (IVG19), the South Taiwan Region (IVG20), the Altai Region (IA2) and the Pamir-Karakoram-Kunlun Subregion (III17c). This result shows that the island of Taiwan, the Altai Region (IA2) and the Pamir-Karakoram-Kunlun Subregion (III17c) have different flora that might be influenced by trans-boundary flora from neighbouring countries.The four top conservation priority areas were identified; the South Hengduan Mountains Subregion IIIE14b), the Central Yunnan Plateau Subregion IIIE13a), the Sanjiang Valley Subregion (IIIE14a) and the North Hengduan Mountains Subregion (IIIE14c). Most of these subregions are in the geographical terrain of the Hengduan Mountains. The Hengduan Mountains are rich in mountainous flora and are thus a key area for studies of the relationships among Laurasian, Gondwanian and Tethyan flora414b, the Ca, the SaThree other top conservation priority areas were identified; the Guizhou Plateau Subregion IIID10d), the Sichuan-Hubei-Hunan Border Subregion (IIID10c) and the Qinling-Bashan Subregion (IIID10a). These three subregions are in the Central China Region. The flora of this region comprises direct and nearly intact descendants of a Tertiary ancient flora0d, the S44112The diversity and degrees of differentiation among Chinese endemic seed plants are unevenly distributed across the country. Both the Hengduan Mountains and Central China regions are diversity centres that also have the highest degrees of differentiation. Moreover, the Hengduan Mountains Region and the Central China Region are two key conservation priority areas for Chinese endemic seed plants based on diversity, degrees of differentiation and endemicity. In addition, the Taiwan Region, the Altai Region and the Pamir-Karakoram-Kunlun Subregion have unique endemic flora, and greater attention should be paid to the flora of these regions or subregions in future conservation planning and actions.How to cite this article: Huang, J. et al. Diversity distribution patterns of Chinese endemic seed plant species and their implications for conservation planning. Sci. Rep. 6, 33913; doi: 10.1038/srep33913 (2016)."}
+{"text": "Paralytic ileus is type of functional obstruction caused by the lack of intestinal peristalsis without any mechanical obstruction. This interference of the flow of intestinal contents often leads to intestinal obstruction. Paralytic ileus may be classified into postoperative, inflammatory, metabolic, neurogenic, and drug-induced . The incIranian traditional medicine is one of the oldest traditional medicines. Avicenna (980\u20131037AD) was a great Iranian clinician and philosopher. He in his famous book, Qanun of Medicine thoroughly has reviewed all of the medical science of ancient Greek and Muslim scholars , 5.Based on Iranian traditional medicine, paralytic ileus, type of functional intestinal obstruction, has been described under title of Gholonj disease. This chapter deals with the physiopathology and management of the gastrointestinal obstructive disorders in Iranian traditional medicine , 7. GholGolonj is classified based on the etiology of obstruction to six categories . Non-mecExcluding type of mechanical obstruction, the strategy of treatment is based on medical because main pathology is no mechanical obstruction. For example, based on the definition of Gholonj-e-Reehi, Avicenna expresses that there is no any real obstruction agent; and accumulation of gas prevents from intestinal movement and defecation.Medical treatment strategies of Golonj disease are various and includes of procedures, medical herbs, and diet recommendations.Recent studies reveals pathophysiology of paralytic ileus is complex and multifactorial, consisting of neurologic and inflammatory agents. Activation of sympatic system or inflammatory response cells in muscle layers of bowel leads to generalized hypo motility of gastrointestinal tract . In explExcluding some of Avicenna\u2019s viewpoint and his etiology of intestinal obstruction based on humoral theories, most of his definition can be compared with medical current concepts. Increased insight into options mentioned in Qanun can be useful for new study, aiming to manage better of disturbances of gastrointestinal function. However, establishing of this concept requires further research and the generation of scientific evidence."}
+{"text": "The results of numerous studies indicate that fish possess bacterial populations on or in their skin, gills, digestive tract, and light-emitting organs. In addition, the internal organs of healthy fish may contain bacteria, but there is debate about whether or not muscle is actually sterile. Using traditional culture-dependent techniques, the numbers and taxonomic composition of the bacterial populations generally reflect those of the surrounding water. More modern culture-independent approaches have permitted the recognition of previously uncultured bacteria. The role of the organisms includes the ability to degrade complex molecules , to produce vitamins and polymers, and to be responsible for the emission of light by the light-emitting organs of deep-sea fish. Taxa, including Pseudomonas, may contribute to spoilage by the production of histamines in fish tissue."}
+{"text": "Advancements in next-generation sequencing and other -omics technologies are accelerating the detailed molecular characterization of individual patient tumors, and driving the evolution of precision medicine. Cancer is no longer considered a single disease, but rather, a diverse array of diseases wherein each patient has a unique collection of germline variants and somatic mutations. Molecular profiling of patient-derived samples has led to a data explosion that could help us understand the contributions of environment and germline to risk, therapeutic response, and outcome. To maximize the value of these data, an interdisciplinary approach is paramount. The National Cancer Institute (NCI) has initiated multiple projects to characterize tumor samples using multi-omic approaches. These projects harness the expertise of clinicians, biologists, computer scientists, and software engineers to investigate cancer biology and therapeutic response in multidisciplinary teams. Petabytes of cancer genomic, transcriptomic, epigenomic, proteomic, and imaging data have been generated by these projects. To address the data analysis challenges associated with these large datasets, the NCI has sponsored the development of the Genomic Data Commons (GDC) and three Cloud Resources. The GDC ensures data and metadata quality, ingests and harmonizes genomic data, and securely redistributes the data. During its pilot phase, the Cloud Resources tested multiple cloud-based approaches for enhancing data access, collaboration, computational scalability, resource democratization, and reproducibility. These NCI-led efforts are continuously being refined to better support open data practices and precision oncology, and to serve as building blocks of the NCI Cancer Research Data Commons. Precision medicine has evolved out of the seminal work of the Human Genome Project, advancements in DNA sequencing technology, developments in high throughput and large-scale molecular biology technologies, improvements in the speed and scale of computation, and innovations in biomedical informatics. This progress has resulted in the molecular characterization of individual patient tumors, the identification of actionable genetic alterations, and the development of evidence-based molecular cancer diagnostics and targeted therapies. Although, cancer types have been traditionally classified by organ or cell type, with the aid of genomics, cancer patients are increasingly being treated according to their cancer's unique molecular signature. Cancer is a diverse array of genetically-driven diseases. The identification and validation of actionable genetic alterations including amplifications, rearrangements, and gain-of-function mutations, has spurred the use of genomic data in oncology practices. Targeted gene sequencing panels, for example, offer insight into the genetic drivers of an individual's tumor and inform the diagnosis, prognosis, and targeted treatment of cancer patients. A number of targets for drug development have been outlined previously , Therapeutically Applicable Research to Generate Effective Treatments (TARGET), and Clinical Proteomic Tumor Analysis Consortium (CPTAC) have generated large datasets amassing petabytes of data. These, along with other datasets and resources described in this paper are available to researchers both in the US and internationally Table .In December 2005, TCGA was announced as a new collaboration between the NCI and the National Human Genome Research Institute NIH, . Data tyTARGET was launched in 2006. TARGET's goal is to characterize the genome and transcriptome of hundreds of pediatric acute lymphoblastic leukemia, acute myeloid leukemia, Wilms tumor, clear cell sarcoma of the kidney, rhabdoid tumor, neuroblastoma, and osteosarcoma samples. Through genomic and transcriptomic analyses, researchers are studying the relationships among alterations at the DNA and RNA levels, cancer growth, cancer progression, and pediatric patient survival characterize the proteomes of tumor and normal tissues; (2) perform proteogenomic analyses of cancer biospecimens; (3) identify potential biomarker candidates through discovery proteomics and develop targeted assays against those candidates; and (4) perform verification tests on those targeted assays. Phase I of CPTAC consisted of technical quality assurance studies Network has emerged as a tri-agency collaboration to enable oncologists to use their patients' unique proteogenomic profiles to inform precision oncology treatments , a cloud-based infrastructure in support of data sharing, tool development, and compute capacity to democratize big data analysis and to increase collaboration among researchers. NCI has sponsored two recent initiatives that serve as the foundation for the Cancer Research Data Commons\u2014the Genomics Data Commons (GDC), and three Cloud Resources.The GDC, built and managed by the University of Chicago Center for Data Intensive Science, in collaboration with Ontario Institute for Cancer Research, all under an NCI contract with Leidos Biomedical Research, is a unified genomic data repository that hosts authoritative NCI reference datasets such as TCGA and TARGET Pilots. The purpose of the CGC Pilots was to explore multiple cloud-based approaches for enhancing secure data access, collaboration, computational scalability, resource democratization, and reproducibility. Through this program, the Broad Institute, the Institute for Systems Biology, and Seven Bridges have each developed what are now known as Cloud Resources. Each platform is deployed in a commercial cloud, and has applied a distinct approach to providing access to TCGA and TARGET genomic data in a cloud environment, and integrating proteomic data from CPTAC as well as radiology images and associated metadata from The Cancer Imaging Archive (TCIA). In addition to providing access to these datasets through rich Application Programming Interfaces (APIs) and graphical user interfaces, the Cloud Resources each provide a platform to enable the deployment of analysis, visualization, and other computational tools in the cloud, bypassing the need to bring data to a local infrastructure. The Cloud Resources support tool deployment through the use of Docker containers, which allow users to package their tools along with all associated dependencies. These \u201ccontainerized\u201d tools can be connected and executed as workflows in these cloud environments. End user documentation provides users with guidance on how to query data, install tools, as well as create and run workflows in each environment. All three platforms conform to strict federal information system security requirements and manage access to controlled data through Database of Genotype and Phenotype (dbGaP) authorization. In addition to their fundamental charter of providing secure cancer genomic data access co-localized with analysis pipelines and visualization tools, the Cloud Resources each offer unique capabilities suitable for a range of research needs.The Broad Institute's FireCloud, was built as the next generation of Broad Institute's Firehose data analysis infrastructure developed for the TCGA program Ulrich, . FireCloThe Institute for Systems Biology Cancer Genomics Cloud (ISB-CGC) runs on the Google Cloud Platform and offers an interactive web-based application and hosts Application Programming Interfaces (APIs) such as the Global Alliance for Global Health API. ISB-CGC takes advantage of Google Cloud Platform's built-in resources such as BigQuery, Compute Engine, App Engine, Cloud Datalab, and Google Genomics. Researchers can use BigQuery to explore clinical, biospecimen, level-3 open access TCGA, and CPTAC II data. ISB-CGC hosts numerous genomics tools and has recently added the Trans Proteomic Pipeline analysis suite. Researchers can now access complementary genomic and proteomic data, run multi-omic analyses, and perform BigQuery searches to investigate genetic alterations, copy number, transcript expression, protein expression, and molecular pathways that are involved in cancer biology. ISB-CGC has also made radiology and tissue images from TCIA and the GDC available through Google Cloud Storage. Additional datasets available at ISB-CGC include the Catalog of Somatic Mutations in CancerCurrently, over 1,600 researches from over 40 countries are using the Seven Bridges Cancer Genomics Cloud (SB-CGC) to analyze hosted genomic data, and/or their own dataThe initial versions of The NCI Cloud Resources, the CGC Pilots, were created to maximize the value of cancer -omics data through harnessing multi-disciplinary expertise. Synergizing technologies from the fields of medicine, molecular biology, informatics, and cloud computing, the CGC Pilots have begun to transform how cancer data analysis is conducted. Researchers, both in the US and internationally, have been able to advantage of these cloud-based resources. To ensure the success of this project and to identify areas for improvement, the CGC Pilot and NCI teams established mechanisms to support early adopters' use of these platforms and to collect their feedback.The CGC Pilots teams provided technical support to new users who sought to implement new tools, access data, or create collaborative workspaces. Through the three CGC Pilots, NCI provided cloud compute and storage \u201ccredits\u201d to offset the costs of evaluation of these platforms by cancer researchers. These funds directly impacted the work of researchers such as post-doctoral scholar Dr. Brittany Lasseigne, at the HudsonAlpha Institute for Biotechnology in Huntsville, AL. Dr. Lasseigne used the SB-CGC, to study dosage effects, context dependency, and tissue specificity of tumor suppressors across human cancers in TCGA. These Cloud credits supported the use of the large-scale genomic datasets co-located with computational resources and analysis tools, and increased research efficiency for many early stage researchers like Dr. Lasseigne .To evaluate the CGC Pilots and support on-going NCI-funded cancer research, NCI funded administrative supplements to the active grants of investigators performing genomics-based research. The Funding Opportunity Announcement, Supplements to Support Evaluation of the NCI Cancer Genomics Cloud Pilots (PA-15-305), funded projects to use one or more of the NCI CGC Pilots for ongoing research activities. Funds were awarded to investigators whose projects aimed to install and test the performance of new analysis tools on a CGC Pilot, upload locally-generated genomic data and perform analyses on a CGC Pilot, and/or perform analyses of hosted TCGA data. The researchers reported having a generally positive experience working on the CGC Pilots; however, as expected, some encountered technical hurdles. When those technical issues arose, the vast majority of the groups were able to resolve their problems by working directly with the CGC Pilot support teams. Each research group provided extensive feedback to the CGC Pilots and NCI teams on what elements of the CGC Pilots could be improved. The majority of the administrative supplement awardees reported that they plan to continue to use the CGC Pilots to accelerate their research and that the CGC Pilots have the potential to be a vital resource for the cancer research community. The activities and outcomes of projects funded through these supplements have helped inform NCI's decision to continue supporting this project beyond the pilot phase and to develop a more comprehensive computational infrastructure for -omics and other big data types.Cancer research in the era of big data presents major challenges: computing on large datasets, combining expertise from various disciplines, and developing the infrastructure needed to enhance research efficiency. Recognizing the importance and urgency of these needs, the Beau Biden Cancer Moonshot Blue Ribbon Panel has recommended that the cancer research community aim to, \u201ccollect, share, and interconnect a broad array of large datasets so that researchers, clinicians, and patients will be able to both contribute and analyze data, facilitating discovery that will ultimately improve patient care and outcomes BRP, .\u201d In linThe GDC and Cloud Resources currently support basic and translational research, primarily using genomic and clinical data. These activities serve as the building blocks of the cloud-based NCRDC Figure . The NCRThe era of big data in biomedical research and precision oncology calls for creative strategies borrowed from multiple scientific and technological disciplines. The GDC and Cloud Resources are important steps in supporting the next generation of data-driven cancer research. Looking ahead, the NCRDC represents an interdisciplinary solution to the challenges of big data in cancer research. NCI will continue to lead open science efforts toward the goals of improving prevention strategies, developing targeted diagnostics and therapeutics, and reducing the burden of cancer on patients, their families, and society.IH: Manuscript writing, figure design. TD, JK, AK, and WK: Manuscript and figure revision, approval of final manuscript.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Hypertensive disorders of pregnancy (HDP), particularly pre-eclampsia and eclampsia, remain one of the leading causes of maternal mortality and are contributory in many foetal/newborn deaths. This editorial discusses a supplement of seven papers which provide the results of the first round of the CLIP (Community Level Interventions for Pre-eclampsia) Feasibility Studies. These studies report a number of enablers and barriers in each setting, which have informed the implementation of a cluster\u2013randomized trial (cRCT) aimed at reducing pre-eclampsia-related, and all-cause, maternal and perinatal mortality and major morbidity using community-based identification and treatment of pre-eclampsia in selected geographies of Nigeria, Mozambique, Pakistan and India. This supplement unpacks the diverse community perspectives on determinants of maternal health, variant health worker knowledge and routine management of HDP, and viability of task sharing for preeclampsia identification and management in select settings. These studies demonstrate the need for strategies to improve health worker knowledge and routine management of HDP and consideration of expanding the role of community health workers to reach the most remote women and families with health education and access to health services. A healthy mother and baby are the desired outcomes of all antenatal and intrapartum care. Hypertensive disorders of pregnancy (HDP), particularly pre-eclampsia and eclampsia, remain one of the leading causes of maternal mortality and are contributory in many foetal/newborn deaths. As a result, an estimated 76,000 maternal and 500,000 foetal/newborn deaths occur each year with more than 10 million pregnancy complications [Improving quality of care for mothers and babies during pregnancy and childbirth has the potential to prevent 2 million deaths each year \u20137. DespiSpecific to HDP, research is now underway through the CLIP (Community Level Interventions for Pre-eclampsia) trials in hopes of reducing the burden of adverse maternal and perinatal outcomes related to pregnancy hypertension through community engagement, mobile technology and task-sharing to community health-care providers . Using aThis editorial discusses a supplement of seven papers which provide the results of the first round of the CLIP Feasibility Studies \u201319. ThesUnderstanding the perspectives of women and their communities offers important insights into the enablers and barriers to accessing health care. More context-specific studies and opportunities for women themselves to be engaged in defining quality of maternal and newborn care are needed. One paper in this supplement specifically focuses on community perspectives on the determinants of maternal health in Mozambique, including women\u2019s perspectives, although literature from other settings is referenced in other papers . In MozaThese studies further elucidate the issues of health worker knowledge and routine pregnancy management related to HDP. For CHWs to effectively educate communities about HDP and serve their communities in identifying and managing cases, the CHWs themselves need to have the knowledge about the etiology, symptoms and treatment options available. Across the different settings of the CLIP Feasibility studies, the knowledge of CHWs regarding pre-eclampsia and eclampsia spanned a broad range: Lady Health Workers (LHWs) in Pakistan and Community Health Extension Workers (CHEWs) in Nigeria were correctly able to identify cases , 14; AccMagnesium sulfate \u2013 the World Health Organization (WHO) recommended medication for the treatment and prevention of seizures related to severe pre-eclampsia - is ineThese studies further examined the feasibility of task-sharing aspects of care for women with HDP , 18, in The two papers in this supplement on task sharing provide further important evidence on known strategies , 18 inclIn several of these countries, the CHWs are multi-purpose, delivering as many as 23 activities and services including nutrition, newborn care, health promotion and prevention and curative care for children . With thThe authors of the CLIP Feasibility Studies report a number of enablers and barriers in each setting, which have informed the implementation of the currently underway CLIP cRCT. This supplement adds to the knowledge base of HDP by revealing the diverse community perspectives on determinants of maternal health, variant health worker knowledge and routine management on HDP, and viability of task sharing for preeclampsia identification and management in select settings. These studies demonstrate the need for strategies to improve health worker knowledge and routine management of HDP and consideration of expanding the role of CHWs to reach the most remote women and families with health education and access to health services.We hope the readers of Reproductive Health find this supplement to be a rich resource for further understanding how best to improve the quality of maternal and perinatal health care in these settings and beyond."}
+{"text": "In the studied units it isgenerated common waste (52-60%), infectious-sharps (31-42%) and recyclable(5-17%). The average rates of generation are: 0,09kg of total waste/outpatientassistance and 0,09kg of infectious-sharps waste/outpatient procedure. Thecompliance with regulations, initially 26-30%, then reached 30-38% a year later. the tool showed to be easy to use, bypassing the existence of a complex range ofexisting regulatory requirements, allowed to identify non-conformities, pointedout corrective measures and evaluated the performance of waste management. In thissense, it contributes to decision making and management practices relating towaste, tasks usually assigned to nurses. It is recommended that the tool beapplied in similar healthcare units for comparative studies, and implementation ofnecessary adaptations for other medical services. Services provided in healthcare facilities generate considerable amount of solid wastedenominated as a whole, Healthcare Waste (HW). Much of this waste (75-90%) is consideredsimilar to those generated in households (recyclable or not)-The management of HW involves planning, implementation and monitoring of actions thataim to prevent exposure, ensure the safety of users and professionals involved, preventthe occurrence of environmental impacts while minimizing the generation of waste-Although the management of HW is routinely practiced by healthcare facilities, studiesin developing countries* suffered progressive updates, involving the ministries of Health,Environment and Labor, ending with the establishment of the National Policy of SolidWaste in 2010. All these Brazilian regulations and directives, which are aligned andcomplementary, provide that any healthcare facility in the country, regardless of sizeand complexity of the service, is responsible for managing its waste, and must prepare,implement and monitor its Healthcare Waste Management Plan (HWMP).In Brazil, in the last two decades, the legal and regulatory framework geared toHW,-HWMP is the document that describes all internal and external steps for the managementof waste in healthcare services, in order to prevent occupational accidents, to avoidenvironmental impacts and to protect the public healthThe literature indicates that the simple formulation of the HWMP, involving multipleaspects such as sanitary, environmental, health, and safety of the workers, has been amajor challenge for healthcare institutions. Factors such as the lack of economicresources for the purchase of materials or equipment needed and the shortage of humanresources also hamper the subsequent stages of implementation and monitoring plan.In 2005, a study covering 21 hospitals and 48 outpatient public units of the State ofRio Grande do Sul, Brazil,The nursing sector has a key role in the management of waste, considering that isdirectly involved in the generation of HW and is often commissioned to theadministrative management of healthcare units because of the understanding of thecomplexity and the organization of these servicesIn practice, the presence of these qualified professionals has not happened, which isworrying. In the surgery department of an university hospital in Egypt, which provide basichealthcare services that do not require hospitalization are also called upon to properly manage their waste, according to the rulesin force in the country In December 2015, existed in Brazil 34,951 PHCs in activityIn this context, in order to support the work of healthcare facilities managers on theissue of management of HW, this paper aims to propose a facilitation tool, to supportthe diagnosis, formulation and evaluation of HWMP in PHCs, and present the results ofthe application of this tool in four units of the city of S\u00e3o Paulo. The merit of thisinstrument is the integration of the interdisciplinary among the subject areas involvedand the systematization of current legislation.This is a descriptive study, which used as a research method the multiple case study,applied in four PHCs (identified from PHC-A to PHC-D) in the city of S\u00e3o Paulo, Brazil,during the period from February 2011 to February 2012. The selection criteria of theunits considered all the PHCs that constituted, at the time, the West Project - apartnership for management between the Faculty of Medicine Foundation of the Universityof Sao Paulo (USP) and the Municipality of Sao Paulo Administration. The PHC-D wasanalyzed together with an Emergency Healthcare Unit because they sharedsome services and the outsourced cleaning service.This study consisted of three stages: i) design of a facilitation tool for diagnosis,formulation and evaluation of HWMP using as indicators: waste generation and performanceanalysis; ii) application of the tool in four PHCs, resulting in two consecutivediagnoses regarding the management of waste in 2011 and one year after; and iii)comparative evaluation of both diagnoses.The facilitation tool was formulated from the systematization of the existing legal andregulatory framework in the country, in the state and in the city of S\u00e3o Paulo, and theBrazilian technical standards, resulting in five forms identified from F-I to F-V.daily amount of totalgeneration and by group (kg/d and percentage) and two more appropriateindicators to represent the production of waste in services that provide care withouthospitalization: generation rate per outpatient assistance* andgeneration rate per outpatient procedure** performed in criticalareas***. To feed the indicators of generation, weighing was performed ineach PHC for five consecutive days (one working week of operation), recording thegeneration of each source sector , separately bywaste group: A (infectious), D (common: recyclable and non-recyclable) and E(sharps). Radioactive waste (group C) and chemical (group B) were not consideredbecause the former is not generated in the PHC, while the chemicals still presentincipient segregation. For infectious materials it was used the sum (A+E) becausethey are collected and treated jointly in this city. The values jotted down in theform (F-IV) are the average of values found in the five weighing procedures.Additionally, through administrative records in the studied PHCs, it was computed thedaily average of assistances and the daily average ofprocedures performed in critical areas (recorded in form F-I). Therate of total waste generation per assistance is obtained bydividing the daily average of total waste by the daily average of assistances. Therate of infectious and sharps waste generation (A+E) results fromthe ratio of the daily average of waste by the daily average of procedures performedin the sectors that produce such waste .1. Waste generation indicators: in the literature, these indicators are used toassess whether the generating institution adopts measures to reduce waste productionand performs the separation into different groups to give the appropriate destinationto each group. The indicators selected for this study: 2. Indicator of performance: represented by the scores that resulted from theevaluation of compliance with 142 regulatory requirements contained in Form V (F-V).For completing this form, various techniques were used: survey of secondary data,available documentation , interviews with leaders of different sectors, and on-site observationrecorded in a diary. During the application of the tool, the information collected bythe authors, fed the F-V, which resulted in two diagnoses of managerial andoperational situation of the HW of the four PHCs in 2011, and a year later, a perioddeemed as reasonable for the implementation of the HWMP. The evaluation of the HW management performance in each of the PHC under study,resulted from comparing the diagnoses in the two periods considered, before and afterthe implementation of the plan.Regarding the ethical aspects, the research project was approved by the Ethics andResearch Committees of the Public Health School/USP (OF. COEP 210/10), and of theMunicipal Health Department (CEP/SMS 361/10).facilitation tool. Thefive forms (F-I to F-V) that make up this instrument are described briefly in thefollowing.All requirements and applicable legal requirements - for health, environmental andlabor issues - were incorporated into the Information on the generator facility and responsible: itinvolves data on the location, physical and operational structure of theestablishment; registration data in the competent agencies; amount of human resourcesby function; monthly average of assistances and procedures, and liability relating toHW management and security.F-I. Characterization of the internal flow of waste by sourcesector: it involves the relationship of waste generated separately bygroups (A to E) and by source sector. Lends itself to mapping the property incritical and non-critical areas and the determination of the collection flow. Thesedata help in the distribution planning and calculation of the number and capacity ofthe needed containers, regarding the more efficient segregation and reduction ofwaste.F-II. Description of the external flow and measures to mitigategeneration: identifies the destination of waste indicating the collectioncompanies and receiving units of different waste streams. This information becomes important, as the generator islegally co-responsible for external stages of management. In addition, it assists inthe decision of minimizing the generation and optimization of costs.F-III. Records of indicators of generation and waste minimizationgoals: keeps the record of three indicators, fed with the resultsobtained by measurements and information gathered in the unit, regarding the numberof outpatients assistances and procedures performed during the period: i)rate of daily average waste generation by group (A to E) and therespective percentages; ii) rate of total waste generation perassistance (kg/assistance); and iii) rate of infectious andsharps waste generation (A+E) per procedure in critical areas(kg/procedure).F-IV. The use of these indicators enables the evaluation of the institution's performancein relation to minimizing waste both at whole as per sectors, and supports futuredecision-making. The goals outlined in this form may be checked during the period duefor their achievement or at the time of reapplication at a future date.Checklist of regulatory requirements: this form resulted in 142regulatory requirements, divided into 3 blocks: B1- documentation required; B2-preventive actions to avoid health and environmental risks and B3- steps of theinternal management . F-V. Answers to the checklist allow assessing whether relevant measures for the managementof HW are being adopted. Each requirement may take the following forms: S(Compliant), P , N (Not compliant), and NA (Not applicable). Theun-weighted sum of requirements met, generates a score that reflects the performanceof the unit analyzed. The challenge is to reach 100% of positive responses (S). Asthe documentation is provided, equipment is purchased and used, training programs aredeveloped and operational practices are corrected, the score increases, raising theperformance level and stimulating the search for better results. As an illustration,In 2011, all forms of the tool were filled with data at each PHC under study. Waste quantification indicateIn 2011, there were significant fluctuations in generation rates in the four PHCs.The PHC-C showed the highest values and PHC-D the smallest . Among tIn the second diagnosis, carried out in 2012, the quantification of waste and theconsequent application of the F-IV were affected, considering that management andoperating practices to provide the minimization of waste have not been adopted in anyof the four PHC. Then, the situation one year after, remained virtually the same asthe previous year.The application of F-V was feasible in 2011 and 2012. However, the results showedthat progress in performance management of HW in the PHC under study, was negligible,considering the 142 items to be met .The pro-,Inadequacies in the management of HW and consequent occupational and environmentalsituations of risk are often highlighted in studies conducted in hospitals in developingcountriesIn this study, specifically referring to waste on PHCs, management, operation andinfrastructure failures have been identified, comparable to those mentioned in theliterature. This situation indicates that the legal requirements are not being met,putting at risk the safety of health and cleaning workers as well as users, familycaregivers, workers of the external collection, informal waste pickers and even theenvironment.,In line with previous studies-It is noteworthy that, despite the recommendations set out in studies conducted indifferent countries-,--,-It is also apparent that the most widely used generation indicator in literature - dailyrate per hospital bed (kg of waste/bed.day)generation rate per assistanceand generation rate per procedure in critical areas. It isunderstood that this specificity brings greater reliability to the quantification ofwaste and is more appropriate for outpatient units. The rate of total waste generationper assistance in the four studied PHCs ranged from 0.05 to 0.17kg .This value appears to be higher than the value found in other PHC in Sao PauloIn this study, we proposed two more specific indicators to characterize the generationof waste in outpatient units: In the literature is also remarkable the lack of tools to assess the performance of theHW management. Generation and performance indicators as proposed in the present study,lend themselves both to assess progress in the same unit over time, as well as forcomparison and ranking of PHCs, at any given time.In the PHCs under study, the documented way of exposing the nonconformities served as awarning, however it was not enough to motivate their managers to invest in adapting themanagement of HW. Limiting aspects considered were: the delay in political decision ofthe PHC responsible for the management, and the lack of human and financial resources tomake the needed repairs and improvements.The proposed tool seeks to fill the identified gaps enabling the following procedures:Joint visualization of legal requirements dispersed in different regulatory areasinvolved ; Application by non-experts on the issue, afterbrief training; Identification of structural, operational and behavioral failures in thehealthcare facility; Easy identification of corrective measures to be implemented afteridentification of non-conformities; Setting goals and deadlines; Comparison of resultsin consecutive evaluations, in the same unit, and assessments between different units,evidencing the performance of the HW management; Minimizing the subjectivity of theevaluator; and Achievement of more consistent, reliable and measurable results, formaking decisions.This tool, which organizes all the requirements and legal requirements, may contributeto healthcare management practices, tasks usually attributed to nurses. When fullycompleted, the tool also has the role of documentary record of the healthcare facilitysituation at the completion dates.Because it is an easy-to-handle tool, generating consistent and comparable results, itis recommended to apply this tool in other similar outpatient units, public or privateservices that have size, type of service and of similar HW characteristics.It is also recommended that, for dental, veterinary and even hospitals this tool shouldbe adapted to meet the specific needs of these units. For facilities in othermunicipalities, excluding Sao Paulo should be considered the state and municipalregulations in force."}
+{"text": "The conjunction of this narrow therapeutic index and the considerable inter-individual differences in distribution, metabolism and excretion of these cytotoxic agents in humans, results in increased risks of toxicity and sub-therapeutic dosing in the individual patient [Drug developers recruit and combine principles, procedures and strategies from chemistry, pharmacology, nanotechnology and biotechnology, focusing on the generation of functional vehicles as nano-carriers of drugs for improved stability and enhanced intracellular delivery. By exploring macromolecules such as lipids, polymers and proteins, both biocompatibility and cost-effective fabrication are favored, and a plethora of opportunities for architectonic and functional adaptation of vehicles to particular cargo drugs and therapeutic conditions enlighten the cancer treatment scenario. Molecular vehicles specifically developed as carriers for drugs are usually referred to as drug delivery systems (DDS). The application of nanoscale technologies has resulted in an already vast but still expanding catalogue of drugs and appropriate DDS, whose implementation in therapy is heavily represented in the different phases of drug development, from basic research to clinical trials . DDS, as patient .+ prostate cancer cells are representative examples [This landscape may soon change since many actively targeted nanoparticles for drug delivery are being evaluated in clinical assays . Among texamples . We expeexamples , and Breexamples . Current"}
+{"text": "Editorial on the Research TopicMolecular Dynamics at the Immunological SynapseMartin-Cofreces et al.; is a specialized cell\u2013cell adhesion that mediates antigen acquisition, lymphocyte activation, and effector function. Seminal studies showed a structure composed of stable central and peripheral supramolecular activation clusters (cSMAC and pSMAC) organized at the interface of interacting helper T lymphocytes and B lymphocytes. The T cell receptor (TCR) and signaling molecules were found accumulated at the cSMAC, whereas the integrin LFA-1 and cytoskeleton components distributed at the pSMAC . Current et al.; , 4]. It et al.; , 6. The et al.; \u20139. Much Kapoor-Kaushik et al. provide a piece of original data to discuss how the spatial organization of Lck is regulated in activated T cells. Although the open conformation promotes clustering, signaling downstream the TCR further controls the spatial organization of Lck. Regarding the role of integrins in the triggering of the TCR and T cell activation, Hashimoto-Tane and Saito have recently demonstrated the existence at the IS of adhesion rings of integrins and focal adhesion molecules surrounding TCR-containing microclusters. This so-called microsynapse is proposed to support weak TCR activation via cell\u2013cell local adhesion signals.This research topic (RT) contains 10 articles that cover different aspects of the molecular dynamics at the IS. Data are contributed on the spatial regulation of the signaling molecule Lck, an important molecular requirement for TCR triggering. With the assistance of super-resolution microscopy, Comrie and Burkhardt is how mechanotransduction, the transformation of mechanical forces into biochemical modifications, contributes to the TCR triggering and the intracellular signaling. The authors focus on the role of mechanical forces directed by filamentous actin (F-actin). The review contributed by Hivroz and Saitakis focuses on other mechanical clues that regulate T cell activation, including the effect of membrane protrusions and oscillations, cell mobility and spreading, the TCR engagement itself, or the engagement of LFA-1 during the IS formation.One novel and timely aspect discussed by Ramirez-Munoz et al. propose that a local action of the cofilin activator Slingshot-1 at the IS might mediate an ultrasensitive/bistable response of the cofilin signaling module. This signaling module might then contribute to the specific and sensitive responses of na\u00efve T cells and the more efficient and faster activation of antigen-experienced T cells.Regarding the regulation of F-actin regulators, Benvenuti, who focuses her attention on the role of actin regulators, such as fascin and WASp, among others. The author also discusses about DC polarity and secretion induced by maturation stimuli. For example, the Cdc42-mediated polarization of the MTOC controls the delivery of IL-12 to the DC-T cell IS, a process mediated by VAMP7. Thus, it is envisaged that the activating signal three (inflammatory cytokines) is coupled at the IS to the activating signals one (TCR) and two (costimulation).The relevance of the cytoskeleton remodeling at the dendritic cell (DC) side is discussed by Onnis et al.. The authors revise the different Rab GTPases controlling the recycling routes targeting different receptors, such as the TCR and CXCR4, to the IS. They also highlight the recently noticed role of components of the intraflagellar transport system in controlling the traffic of the TCR to the IS downstream the centrosome polarization. This contribution poses the notion that IS and cilium constitute functional homologs. Important mechanisms of cell\u2013cell communication are also described, including the trogocytosis and the local delivery of exoxomes and microvesicles.The dynamics of the endosomal compartment is discussed in the review by Niedergang et al. remark this parallelism and discuss the organization, mechanism of assembly, and regulation of both structures. They pay attention to immune and phagocytic receptors, the interplay of the actin and tubulin cytoskeleton and the vesicular traffic. Discussion is provided about the role of soluble N-ethylmaleimide-sensitive factor attachment protein receptors and Rab GTPases in polarized vesicular traffic.Spatial organization of the IS also resembles the phagocytic cup, leading to the concept of the phagocytic synapse. Brzostek et al.. They describe the function of CD28 and CTLA4 in the immune response, the regulatory role in the cytoskeleton dynamics and signaling and the distribution to the IS in effector and regulatory T cell.The structure and function of costimulatory and coinhibitory receptors upon the engagement of B7 molecules expressed on APCs are discussed by Rocha-Perugini et al. discuss the role of tetraspanin-enriched microdomains in the local accumulation of receptors, adhesion molecules, and integrins at the IS. Associations are described between IS-located tetraspanins, several signaling molecules, and the actin cytoskeleton.In summary, this RT highlights the fine-tuned molecular dynamics at the IS that allows proper T cell activation and effector functions. Methodological and technical advances in microscopy techniques improving spatial and temporal resolution are helping us to understand how the dynamics of the cytoskeleton and the endosomal compartment reorganizes micro and nanodomains of signaling complexes that, in turn, mediate lymphocyte immune responses. In addition, complementary biophysical approaches as well as the comparison with biological systems mentioned in this collection may provide useful hints to unravel the complexity of ISs.PR-N wrote the first draft of the manuscript and updated the last version. AA and VB corrected and completed the initial draft.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "European Journal of Psychotraumatology focuses on traumatized refugees. It includes three review articles as well as four original articles on the mental health burden, screening instruments and interventions in different groups of refugees. The articles published in this special issue focus on important aspects of better understanding the needs of traumatized refugees, as well as on identifying and offering appropriate mental health care for this population. Future research recommendations are provided in the hope to contribute to improving mental health care strategies of this still underserved population.In the past few years the number of refugees worldwide has increased dramatically. Many of them were traumatized in their homelands due to violent conflict or persecution, as well as during their flight, and are confronted with ongoing stressors in the exile countries. In order to contribute to enhancing the clinical knowledge, this special issue of the International studies show that refugees suffer from increased rates of short-term and long-term mental health problems: approximately one in three refugees is suffering from PTSD or other trauma-related mental disorder (Bogic, Njoku, & Priebe, European Journal of Psychotraumatology has a strong tradition focusing on global mental health issues and populations forced to migrate (see special issues Hall & Olff, In a systematic review and meta-analysis, an overview of the effectiveness of psychosocial interventions for displaced war-traumatized minors is provided focusing on symptoms of PTSD, depression, anxiety, grief and general distress (Nocon, Eberle-Sejari, Unterhitzensberger, & Rosner, The third review article focuses on the special situation of Syrian refugees, their mental health conditions, and scalable evidence-based interventions. It outlines the newly launched STRENGTHS programme for adapting, scaling up and testing Problem Management interventions (Sijbrandij et al., Very little research has been done on the validity of instruments for refugee populations (Wind, van der Aa, de la Rie, & Knipscheer, This issue continues with the cultural adaptation and evaluation of a CBT programme for Farsi-speaking refugees, that was conducted with male refugees from Afghanistan and Iran (Kananian, Ayoughi, Farugie, Hinton, & Stangier, In the third research article, 76 adult patients at a treatment centre for torture victims and traumatized refugees were surveyed in the context of their regular multidisciplinary psychotherapeutic treatment (Stammel et al., Finally, a group-based multidisciplinary day patient treatment for refugees who experienced multiple traumatic losses was evaluated (de Heus et al., European Journal of Psychotraumatology looks forward to receiving more papers focusing on traumatized refugees, to improve the mental health care strategies of this underserved population.The articles published in this special issue focus on important aspects to better understand the needs of traumatized refugees, as well as on identifying and offering appropriate mental health care for this population. Cultural sensitive psychotraumatology remains a priority (Schnyder et al.,"}
+{"text": "Studies emphasize the training of cognitive functions to decrease losses in the population. Memory training associated with neurotracker was performed by an 80-year-old man with memory complaints. A battery for measuring memory, quality of life and stress was initially applied and showed low scores. The patient underwent a program for stimulating memory and attention comprising 32 sessions (2 weekly sessions of 90 minutes each). The post-test follow-up showed improvements in the process of storage and retrieval of episodic and working memory, greater use of strategies, faster information processing speed, as well as reduction in complaints and positive impact on quality of life. The results suggest that the use of Neurotracker for training cognitive processes is valid for cognitive rehabilitation programs to promote improvements in quality of life in the elderly. In this scenario, cognitive rehabilitation programs for stimulating cognitive functions have become commonplace, proving effective in reducing cognitive deficits.The study by BalardinThe study of Barnes et al.,,In this context, many computerized techniques have proven useful resources for cognitive training.Thus, the present study reports the results of a memory training program incorporating the Neurotracker with pre and post-intervention cognitive assessments.We report the case of S.Z., an 80-year-old, right-handed male, married with four children, holder of a Doctorate in architecture and living with family members in S\u00e3o Paulo. There was no history of alcoholism, smoking or pathologies relevant to this report. The patient sought medical assistance in 2014 after presenting frequent memory complaints. Clinical and functional assessments conducted by a neurologist and neuropsychologists revealed no symptoms of cognitive impairment. This result was obtained based on clinical observations and on the Daily Activities Scale and Mini-Mental State Exam,The patient was undergoing medical and neurological treatment with the following medications: Galvus Met 850 mg, Betaserc 24 mg, Lipitor (Atorvastatin) 20 mg, Puran T4 50 mg, Rivotril (Clonazepam) 1 mg, Nexum 20 mg, Fluoxetine 20 mg, Benicar 20 mg, and Vitamin D, 8 gts.In August 2014, the subject was referred for assessment and brain performance training at the Neuropsychology Unit of the Institute of Psychiatry of the Clinicas Hospital of the University of S\u00e3o Paulo School of Medicine. The initial assessment included direct observation of the patient, determination of intelligence quotient, completion of a brief questionnaire on motivation, expectations and impairment prior to training, application of scales measuring self-conception and self-perceived memory, stress, anxiety, depression and quality of life. Tests of attention, memory, information processing speed and reaction time, simple and entailing selection, were also performed. All participants signed the free and informed consent form.The results of the pre and post-training cognitive assessments are given in both Pre-training and training. Intellectual performance was assessed using two sub-tests from the Wechsler Abbreviated Scale of Intelligence - WASI,The subject exhibited no depressive symptoms ,The Colored Trails TestPerformance on the Memo Checkup (randomized computerized test for assessing accuracy of episodic and working memory), showed medium episodic memory and significantly lower-than-expected working memory for age (Graph 1). NeurotrackerAfter the initial assessment battery, the intervention consisting of individual sessions of 90 minutes, twice per week, was run for a 12-month period. The computer was used for the cognitive training, both to access the Neurotracker software and run the Memory Training sessions. The sessions were devised according to the consciously learned mnemonic strategies which required effort to put into practice. The training employed verbal and visual mnemonic methods (image and rhyming cues), expanded repetition , errorless learning (technique for avoiding errors while learning new information), cue removal , PQRST , association , production (similar to association only sentences must be created for the register) and the categorization process (forming classes of the information to be memorized).At the post-training stage, improvements were evident in self-perceived attention, memory, quality of life and self-confidence on the M&M Scale. A similar result was found for perceived subjective memory on the MAC-Q scale.Greater use of the strategy trained was seen on the episodic memory task, suggesting that cognitive training acts as feedback, rendering visible the improvements and consequently, perceptions in terms of well-being and learning strategies, corroborating the results of other studies.,A reduction in stress symptoms was also observed, in line with studies suggesting that cognitive training serves to help improve stress symptoms.Training proved effective for sustained and alternating attention, with above-average cognitive flexibility on the Colored Trails testResults of the computerized memory test showed changes in score during and after training. The results, despite fluctuating at some points, showed a steadily rising curve for both Accuracy and Processing Speed on the test (Graph 1).Positive results were also obtained on the Neurotracker, the computerized stimuli employed, in the form of a rising curve for scores comparing accuracy, speed and difficulty provided by the software .1,2,8The results indicate that the use of the Neurotracker for training cognitive processes is valid as part of cognitive rehabilitation programs promoting improvements in the quality of life of the elderly, corroborating the results of previous studies.,Political issues regarding costs of pension, welfare and healthcare systems oblige societies to seek ways of improving assistance in the aging process. The psychological universe of older adults, besides the biological spectrum , also encompasses individual potentialities , in addition to influences from the environment and the sociocultural context.Given this scenario, such assistance should include computerized cognitive training programs in private and public institutions for elderly care to improve quality of life and delay the signs of senility during the aging process. Future studies focusing on the development of new techniques and furthering this area should also be encouraged."}
+{"text": "Fibromyalgia syndrome (FMS) is a chronic condition characterized by widespread pain accompanied by symptoms like depression, anxiety, sleep disturbance and fatigue. In addition, affected patients frequently report cognitive disruption such as forgetfulness, concentration difficulties or mental slowness. Though cognitive deficits in FMS have been confirmed in various studies, not much is known about the mechanisms involved in their origin. This study aimed to investigate the contribution of affect-related variables to cognitive impairments in FMS. For this purpose, 67 female FMS patients and 32 healthy control subjects completed a battery of cognitive tests measuring processing speed, attention, visuospatial and verbal memory, cognitive flexibility and planning abilities. In addition, participants completed self-report questionnaires pertaining to positive and negative affect, alexithymia, pain catastrophizing and self-esteem. Clinical characteristics including pain severity, symptoms of depression and anxiety, insomnia and fatigue were also assessed. FMS patients showed markedly poorer performance than healthy controls in all of the cognitive domains assessed, in addition to greater levels of depression, anxiety, negative affect, alexithymia and pain catastrophizing, and lower self-esteem and positive affect. In exploratory correlation analysis in the FMS sample, lower cognitive performance was associated with higher pain severity, depression, anxiety, negative affect, alexithymia and pain catastrophizing, as well as lower self-esteem and positive affect. However, in regression analyses, pain, self-esteem, alexithymia, and pain catastrophizing explained the largest portion of the variance in performance. While interference effects of clinical pain in cognition have been previously described, the present findings suggest that affective factors also substantially contribute to the genesis of cognitive impairments. They support the notion that affective disturbances form a crucial aspect of FMS pathology, whereas strategies aiming to improve emotional regulation may be a beneficial element of psychological therapy in the management of FMS. Fibromyalgia syndrome (FMS) is a chronic disorder characterized by widespread musculoskeletal pain and accompanying symptoms like depression, anxiety, sleep disturbance and fatigue. Its prevalence is estimated at 2\u20134% in the general population, with women being predominantly affected . FMS is Complaints about cognitive disruption, such as forgetfulness, concentration difficulties or mental slowness are also frequent in FMS patients. These impairments, also referred to as \u201cfibro fog,\u201d may significantly affect patients\u2019 everyday life and therefore are perceived to be among the most serious symptoms of the disease . ProblemThough the occurrence of cognitive impairments in FMS has been well-established, not much is known about the mechanism involved in their origin. Interference effects of nociception and pain have been considered a relevant factor, as supported by studies showing positive correlations between the severity of clinical pain and the magnitude of cognitive decline . Pain isWhile most available FMS studies on the implications of affect-related variables in cognitive impairments refer to symptoms of depression and anxiety, mood states have not yet been specifically addressed. Positive and negative affect are regarded as virtually independent dimensions, where positive affect implies enthusiasm, activity and vitality-energy, while negative affect constitutes a general state of distress including aversive emotions like anger, fear and guilt . There iAffect-related coping styles may also be of interest in the present context. Alexithymia is conceptualized as a personality trait related to deficits in the cognitive processing of emotions that involves a lack of emotional awareness, difficulties in identifying and communicating feelings and an externally oriented thinking style , 2006. SFinally, self-esteem may be another relevant aspect. Self-esteem is a component of self-concept defined as an individual\u2019s set of thoughts and feelings about his or her own worth and importance, resulting in a global positive or negative attitude toward oneself . There iIn sum, affect-related factors, including affective dysbalance, alexithymia, pain catastrophizing and low self-esteem, may contribute to cognitive impairments in FMS, in addition to pain experience and symptoms of emotional disorders. However, knowledge concerning the actual magnitude of their impacts remains scarce. Therefore, the main objective of the present study was to evaluate the relationship between self-report measures of these factors and performance on a comprehensive battery of cognitive tests measuring processing speed, attention, visuospatial and verbal memory, and cognitive flexibility, as well as mental planning and organizational skills. Clinical characteristics including pain severity, symptoms of depression and anxiety, as well as sleep disturbance and fatigue were regarded as additional predictors. Moreover, in order to quantify the magnitude of the cognitive decline in the investigated FMS patients, their test performance was compared with a control group of healthy individuals matched for relevant sociodemographic variables.The following hypotheses were tested in the study: (1) Positive affect is positively, and negative affect is inversely, related with cognitive performance in FMS patients. (2) Higher levels of alexithymia and pain catastrophizing, and reduced self-esteem, predict lower performance. (3) Clinical pain severity, symptoms of depression and anxiety, as well as insomnia and fatigue demonstrate inverse associations with test performance. (4) In addition, FMS patients perform poorer than healthy individuals on the applied cognitive tasks.In total, 67 women with FMS, recruited from the Fibromyalgia Association of Ja\u00e9n (Spain), participated in the study. All of them were examined by a rheumatologist and met the 1990 American College of Rheumatology criteria for FMS . The conRey-Osterrieth Complex Figure Test (ROCF) (The t (ROCF) was usedVerbal Learning Test (TAVEC) (The (TAVEC) was usedZoo Map Task (ZMT) from the Behavioural Assessment of the Dysexecutive Syndrome was applied as a measure of strategic planning and self-regulation (The gulation . The tasTrail Making Test (TMT) was used to evaluate processing speed, attention and cognitive flexibility. The version of The The patients\u2019 clinical history and demographic data were obtained in a semi-structured interview. The Structured Clinical Interview for Axis I Disorders of the Diagnostic and Statistical Manual for Mental Disorders SCID, was applMcGill Pain Questionnaire (MPQ) (re (MPQ) . This 73re (MPQ) .State-Trait Anxiety Inventory (STAI) (y (STAI) . This iny (STAI) .Beck Depression Inventory (BDI) (ry (BDI) . This 21Fatigue Severity Scale (FSS) (le (FSS) . This scOviedo Quality of Sleep Questionnaire (COS) (re (COS) . The InsPositive and Negative Affect Scale (PANAS) ( (PANAS) . This quToronto Alexithymia Scale (TAS-20) ((TAS-20) . This inCoping Strategies Questionnaire (CSQ) (re (CSQ) . The 6-iRosenberg Self-esteem scale (SS) . On thisThe study was conducted in two sessions performed on the same day. During the first session, a clinical psychologist took the patients\u2019 clinical history, recorded sociodemographic data and medication use, and evaluated possible violations of the exclusionary criteria. After that, SCID interviews were conducted and the psychometric questionnaires presented. In the second session, the neuropsychological tests were administered in the following order: ROCF (copy), ZMT, R-SAT, ROCF (reproduction), TAVEC , TMT, and TAVEC . The tests were presented in this order to avoid an interference effect of different cognitive domains, especially between visual and verbal memory. Between each test, participants had a break of 5 min. The study protocol was approved by the Ethics Committee for Human Research of the University of Ja\u00e9n and all participants provided written informed consent.t-tests and \u03c72-tests. Group differences in cognitive performance were analyzed by means of multivariate analysis of variance (MANOVA). Age, years of education and body mass index were entered as covariates in this analysis. Effects of medication use and comorbid depression and anxiety disorders were evaluated by stratified analyses done for the FMS group (MANOVA) that compared patients using and not using each type of medication , and comparing patients suffering and not suffering from depression and anxiety disorders. Effect sizes are indicated by adjusted eta squared . Firstly, at an exploratory level, Pearson correlations were computed. Secondly, multiple regression analyses were performed. Two blocks of variables were used as predictors in the analyses: (1) to control for the effects of age, body mass index and years of education, these variables were entered simultaneously (enter method); (2) to determine psychological predictors of cognitive performance, questionnaire scales that showed significant correlations with neuropsychological parameters in the exploratory analysis were included (stepwise method). SPSS software (version 19.0) was employed for data analysis .Associations between questionnaire scores and neuropsychological test results were evaluated in two steps, both restricted to the FMS group FMS patients and 10 (45%) healthy participants exhibited TAS-20 values above the cut-off score.F = 3.11, p < 0.0001, Table 2 displays the means and standard deviations of the performance indices, together with the statistics of the univariate group comparisons. The results for most test parameters reflect lower task speed and accuracy in FMS patients than controls. Differences were significant for all speed and accuracy parameters of the ROCF (copy and reproduction conditions) and TAVEC . In the ZMT, group differences were seen in the total number of correct responses, execution time for both versions and mistakes in version 1. On the R-SAT, differences arose for the number of correct responses (short items). Among the parameters of the TMT, execution times for the number sequence, letter sequence, switching and motor speed tasks, as well as set loss and time out mistakes, differed between groups. The covariates of age, years of education and body mass index were non-significant. No differences were found between subgroups of patients taking and not taking antidepressants, anxiolytics, non-opioid analgesics, or opioids, or between patients suffering and not suffering from comorbid depression or anxiety disorders .The MANOVA for the neuropsychological test scores showed a multivariate group effect on the MPQ correlated negatively with the number of correct marks on both conditions of the ROCF and the correct responses in the recognition task of the TAVEC. This score correlated positively with execution time during the number sequence, letter sequence and motor speed tasks of the TMT, omission errors and false positive responses in the TAVEC recognition task, set loss and time out mistakes on the TMT, and execution time during version 2 of the ZMT. The sensorial and total pain scales correlated negatively with the number of correct responses on the ZMT, and positively with execution time during version 2 of this test. Emotional pain correlated negatively with correct responses on the TAVEC recognition task, and positively with omission errors and false positives. Trait anxiety (STAI) was positively associated with execution time during the copy condition of the ROCF, and with the visual scanning and motor speed tasks of the TMT. State anxiety was inversely associated with the number of correct responses (short items) on the R-SAT, and with the number of correct recognition responses, long-delay recall and the discrimination score of the TAVEC, and positively associated with long item mistakes on the R-SAT, omission errors in the TAVEC recognition task, and execution time during the TMT motor speed task. Depression (BDI) correlated positively with the number of long item mistakes on the R-SAT and set loss mistakes on the TMT, and negatively with correct responses on the R-SAT. Fatigue (FSS) correlated positively with execution time during the motor speed task of the TMS. No significant correlations arose for insomnia (COS).Table 4 includes the correlations of the questionnaire scores for positive and negative affect, alexithymia, pain catastrophizing and self-esteem with the indices of neuropsychological test performance in FMS patients. Positive affect (PANAS) was inversely associated with execution time during version 2 of the ZMT, omission errors and false positives on the TAVEC recognition task, execution time during the visual scanning, number sequence, letter sequence and switching tasks of the TMT, as well as set loss and time out mistakes on the latter instrument. Moreover, positive affect correlated positively with correct responses (short items) on the R-SAT, and recall (List B) and recognition performance on the TAVEC, as well as the discrimination score provided by this test. Negative affect (PANAS) correlated positively with face item mistakes on the R-SAT, false positives on the TAVEC recognition task, execution time during the visual scanning task of the TMT, and sequence and set loss mistakes. Negative affect correlated negatively with execution time during version 1 of the ZMT.Alexithymia (TAS-20) correlated negatively with the number of correct marks in the copy condition of the ROCF, and with correct recognition responses and the discrimination score of the TAVEC, and positively with execution time during the copy and reproduction conditions of the ROCF, the visual scanning, number sequence, latter sequence and switching tasks of the TMT, set loss and time out mistakes on the TMT, as well as omissions and false positives on the TAVEC recognition task.Pain catastrophizing (CSQ) correlated negatively with the number of correct recognition responses on the TAVEC, and positively with execution time during the reproduction condition of the ROCF, the number and letter sequence conditions of the TMT, long item and face item mistakes on the R-SAT, sequence and set loss mistakes on the TMT, as well as omissions errors and false positives in the TAVEC recognition task.Self-esteem (SS) was inversely associated with execution time during the copy and reproduction conditions of the ROCF, both versions of the ZMT, the visual scanning, number sequence, letter sequence, switching and motor speed conditions of the TMT, as well as set loss, sequence and time out mistakes on the TMT, and omissions and false positives in the TAVEC recognition task. Moreover, self-esteem correlated positively with the number of correct marks in the copy condition of the ROCF, correct responses (short items) on the R-SAT, and free recall performance (List B) and the discrimination score of the TAVEC.Table 5. Here, current pain intensity (VAS of MPQ) was inversely related to the number of correct marks in the copy and reproduction conditions of the ROCF and execution time during version 2 of the ZMT; and positively related to execution time during the number and letter sequence tasks of the TMT, and to set loss and time out mistakes on this test. The sensorial pain index was positively associated to mistakes in version 1 of the ZMT; emotional pain was inversely associated with correct responses, and positively with omission errors in the TAVEC recognition task. Depression (BDI) was positively associated with long item mistakes on the R-SAT. State anxiety (STAI) was positively associated with execution time during the motor speed task of the TMT and trait anxiety was positively associated with execution time during the copy condition of the ROCF.Significant results of the multiple regression analyses for the prediction of performance parameters, after controlling for the effects of age, years of education and BMI, are presented in Positive affect (PANAS) was inversely related to execution time during the switching task, and negative affect was positively related to execution time during the visual scanning task of the TMT. Alexithymia (TAS-20) was positively associated with execution time during the reproduction condition of the ROCF and the number sequence, letter sequence and switching tasks of the TMT, and with time out mistakes on this instrument. Pain catastrophizing (CSQ) was positively associated with face item mistakes in the R-SAT, false positive responses in the TAVEC recognition task, and sequence mistakes on the TMT. Self-esteem (SS) was inversely related to execution time during the copy condition of the ROCF, version 2 of the ZMT and the number sequence and motor speed tasks of the TMT. It furthermore was inversely related to false positive responses, omission errors in the TAVEC recognition task and set loss mistakes on the TMT. Self-esteem was positively associated with correct responses (short items) on the R-SAT, correct responses in the free recall (List B) and recognition tasks of the TAVEC, and the discrimination score of the test.This study revealed poorer performance in FMS patients vs. healthy individuals on neuropsychological tests of processing speed, attention, visuospatial and verbal memory, cognitive flexibility, as well as mental planning and organizational skills. According to an exploratory correlation analysis conducted in the patient group, test performance was associated with pain severity, symptoms of depression and anxiety, as well as affect-related variables including positive and negative affect, alexithymia, pain catastrophizing and self-esteem. In subsequent regression analyses, pain, self-esteem, alexithymia, and catastrophizing explained the overall largest portion of test score variance.The cognitive performance reduction in FMS patients confirms previous findings. The longer execution times during the number sequence, letter sequence and switching tasks, and the higher number of set loss and time out mistakes on the TMT, are in line with observations of deficits in attentional functions and processing speed . PatientIn the applied questionnaires FMS patients reported more severe symptoms of depression, anxiety, insomnia and fatigue than controls, which constitute typical bodily and mental symptoms accompanying FMS pain . ElevateAs its main aim, this study investigated the impact of FMS symptoms and affect-related variables on cognitive performance. Among clinical symptoms, pain severity was most closely related to neuropsychological test scores. In correlation analysis, high scores on the MPQ scales were associated with lower speed and accuracy on the attentional and planning tasks (TMT and ZMT), as well as fewer correct responses and more mistakes on both memory tests (ROCF and TAVEC). Similar associations also arose in regression analysis. The associations between MPQ scale scores and cognitive function are in line with previous FMS studies, where they were interpreted as indicative of an interference effect of pain with cognitive processing . DepressThe involvement of affect-related variables in cognitive impairment in FMS represents a novel aspect of this study. Positive affect demonstrated a close association with attentional and verbal memory performance. In correlation analysis, the corresponding PANAS scale score was predictive of faster performance and lower error rates in the visual scanning, number sequence, letter sequence and switching tasks of the TMT. This also applies to almost all TAVEC indices of verbal recall and recognition performance. A weaker association between positive affect and planning abilities is suggested by the negative correlation of the PANAS scale score with execution time during one of the two ZMT tasks, and by the positive correlation with correct responses on the R-SAT. Negative affect was related to more errors on the TMT, TAVEC and R-SAT and slower performance on one of the ZMT tasks. The associations of positive and negative affect with performance speed also arose in regression analysis. Beneficial effects of positive affect on cognition have repeatedly been reported in healthy individuals, for example in terms of facilitation of attentional processing, problem solving and decision making . AdverseAlexithymia also showed a close relationship with attentional and memory performance. The TAS-20 global score was positively related to execution time during the visual scanning, number sequence, letter sequence and switching tasks of the TMT, as well as to error rates in this test. It furthermore correlated negatively with speed and accuracy performance on the ROCF, and all parameters reflecting recognition ability on the TAVEC. The associations with the TMT parameters and reproduction performance on the ROCF were also seen in regression analysis. As a major source of emotional dysregulation, alexithymia has been implicated in somatosensory amplification, pain chronification and the pathogenesis of FMS . In addiSignificant associations with attention, memory and planning also arose for pain catastrophizing. The corresponding CSQ scale score correlated positively with mistakes on the TMT and R-SAT, and with execution time during the number and letter sequence conditions of the TMT and the reproduction condition of the ROCF. Furthermore, higher levels of catastrophizing were associated with fewer correct responses and more mistakes on the TAVEC. Less accurate performance in the TMT, TAVEC and R-SAT in patients with high catastrophizing scores was also reflected in the regression analysis. Pain catastrophizing is recognized as a crucial factor in the development of chronic pain, especially in FMS . CatastrFinally, low levels of self-esteem were related to poorer attentional, memory and planning performance. The SS score correlated negatively with execution time during the visual scanning, number sequence, letter sequence and switching tasks of the TMT, as well as with error rates on this test. Higher values were also associated with faster performance during all conditions of the ROCF and ZMT, and with improved free recall and recognition performance on the TAVEC. A large proportion of these relationships was also seen in regression analysis. The association between self-esteem and cognition may be mediated by motivational factors. Self-esteem is related to self-confidence and self-efficacy expectation . These vOne limitation of the study was the relatively small size of the control group, which may have limited the power of the statistical group comparison. Moreover, caution is required in the interpretation of the results of the exploratory correlation analysis considering the increased risk of alpha errors due to the high number of computed correlations. Regarding the selection of self-report scales, some relevant constructs may not have been taken into account. For example, emotional self-regulation, emotional competence or self-efficacy may be of interest in future studies. Finally, the conclusion of a causal contribution of affective factors to cognitive impairments in FMS cannot be drawn with certainty. By definition, the causal impact of cognitive deficits on affective variables, as well as mutual influences between cognition and emotion, also have to be considered.To conclude, this study confirmed marked deficits in the domains of attention, memory and executive functions in FMS and revealed new knowledge regarding the psychological factors involved in their mediation. Overall, affect-related variables, i.e., positive and negative affect, alexithymia, pain catastrophizing and self-esteem, were as closely associated with neuropsychological test scores as pain severity. Our findings underline the importance of these variables in the genesis of cognitive symptoms in FMS. As an important factor of FMS pathology, emotional aberrances may also be relevant with respect to optimizing psychological therapy of FMS. Techniques addressing affect-related variables may constitute a helpful component of cognitive therapy in the management of FMS . In addiAll authors contributed to the design of the study and to the analysis and interpretation of the data. CG-S conducted the experiment, acquired data, and drafted the first version of the manuscript. GRdP and SD critically revised and completed the manuscript and approved the submitted version.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest. The reviewer MA and handling Editor declared their shared affiliation."}
+{"text": "The world production of cement has greatly increased in the past 10 years. This trend is the most significant factor affecting technological development and the updating of manufacturing facilities in the cement industry. Existing technology for the production of cement clinker is ecologically damaging; it consumes much energy and natural resources and also emits pollutants. A new approach to the production of blended or high-volume mineral additive (HVMA) cement helps to improve its ecological compatibility. HVMA cement technology is based on the intergrinding of portland cement clinker, gypsum, mineral additives, and a special complex admixture. This new method increases the compressive strength of ordinary cement, improves durability of the cement-based materials, and - at the same time - uses inexpensive natural mineral additives or industrial by-products. This improvement leads to a reduction of energy consumption per unit of the cement produced. Higher strength, better durability, reduction of pollution at the clinker production stage, and decrease of landfill area occupied by industrial by-products, all provide ecological advantages for HVMA cement."}
+{"text": "Aims: This review aims to evaluate the most recent evidence on the pathophysiology of impulse control disorders (ICDs) in Parkinson disease (PD).Methods: Computerised searches of Medline, Embase and PsycInfo, along with manual searches for grey literature, were conducted and resulted in a total of 16 studies suitable for review.Results: Evidence was divided into four categories: medication used in PD management, imaging studies, genetic analysis and subthalamic deep brain stimulation (STN-DBS). Analysis of the literature reveals that both intrinsic and extrinsic factors may play a role in the pathophysiology of ICDs in PD. Dysfunction of the mesocorticolimbic pathway and polymorphisms of the dopamine D3 and D4 receptors may increase an individual's susceptibility to the development of ICDs.Discussion: Dopaminergic medication, particularly dopamine agonists (DAs), increases the risk of developing impulsive behaviours in a PD patient. Further evidence, particularly in the form of prospective studies and randomised controlled trials is required to better establish the pathophysiology of ICDs in PD."}
+{"text": "The Asia-Pacific region is a geographic source for emerging infectious diseases, including multidrug-resistant (MDR) organisms (MDROs) and pathogens with pandemic potential. Risks for emerging infectious diseases in this geographic region are complex and are presumed to include ecological, socioeconomic, and technological processes favorable to microbial transmission dynamics. In resource-limited settings, relative to resource-adequate settings, there continues to be a paucity of data in support of infection prevention and control, and patient safety interventions to ensure that regional, if not national, healthcare systems work effectively to improve infection prevention and control interventions. In addition, several viral pandemics and annual influenza strains have originated in the Asia-Pacific region, which, together, has global implications for population health.The prevention, control, and reporting of MDROs and healthcare-associated infections (HAIs) benefit from effective data dissemination plans and harmonized surveillance systems. HAIs compromise patient safety because they are preventable and serve as a reservoir for MDROs, which are associated with excess length of hospital stay, increased antimicrobial drug exposure, and excess costs . In the Clinical Infectious Diseases focuses on 3 key themes of infection prevention and control in healthcare settings across the Asia-Pacific regions: (1) epidemiology and evidence to support prevention and control interventions, (2) enhancements to infection prevention and control in healthcare settings, and (3) practices associated with the containment of emerging infectious diseases and outbreaks. The epidemiological data and evidence to support prevention and control interventions include 2 national survey studies for best practices and 4 epidemiology studies. A survey from Thailand and Japan relative to the United States compared evidence-based practices for prevention of HAIs and identified a modifiable gap associated with quality improvement for hospitals in these Asian-Pacific countries.This issue of Staphylococcus aureus (MRSA) and MDR Acinetobacter baumannii interventions in Thailand. Higher compliance (>75%) with bundled approaches was associated with reduction in MRSA, where containment of MDR A. baumannii necessitated bundle compliance along with additional infection control interventions. Four other publications describe the complex clinical factors, molecular epidemiology, and transmission dynamic associated with prevalent and emerging MDROs in Singapore and South Korea . Together, these studies provide information on the epidemiology of infection prevention and control and the transmission dynamic of MDROs in Asia-Pacific settings.A second national survey focused on policy, process, and outcomes associated with methicillin-resistant The second theme in this issue on infection prevention and control in the Asia-Pacific region is the innovative use of molecular diagnostics, electronically linked administrative data, and information technology to enhance infection prevention and control. Findings from 4 meta-analyses or network meta-analyses demonstrate the reduction in central catheter\u2013associated bloodstream infection with the use of minocycline-rifampin\u2013impregnated central venous catheters; the effects of antibiotic stewardship on outcomes including antibiotic consumptions, mortality rates, and the reduction in MDROs; infection control\u2013specific interventions associated with control of specific MDR gram-negative pathogens in intensive care units; and the potential role of the enteric microbiome in postoperative complications.Together, these studies also provide strong methodological approaches for the use of network meta-analyses, which permitted assessment of these exposure-response relationships inclusive of potential confounding factors. In addition, a report from Singapore describes the use of an electronic medical record\u2013linked administrative database that included language selectively of specific terms, using text parsing of chest radiographic reports to identify evidence of pneumonia. Use of this electronic medical record\u2013linked data source in a case validation of hospitalized adults with community-acquired pneumonia provides an enhanced method for conducting real-world evidence studies that can include enhanced case detection, diagnostic evaluations, and pathogen-specific treatment patterns in future studies. Finally, the real-life feasibility of using the Xpert MTB/RIF assay (Cepheid) in clinical practice in a tuberculosis-prevalent country was reported from Thailand. Results suggest the potential role of this molecular diagnostic method in the containment of MDR tuberculosis in the Asia-Pacific region.The third theme is practices associated with the containment of emerging infectious diseases and outbreaks in Asia-Pacific countries. Two publications describe successful containment for emerging infectious diseases, inclusive of lessons learned from the 15-year Hong Kong infectious diseases preparedness experience and the experience of zero secondary chain transmission of Middle East respiratory syndrome coronavirus in Thailand. Together, these 2 studies emphasize the key message that control of emerging infectious diseases is feasible and sustainable in these geographic regions.Streptococcus agalactiae infection in Singapore. Findings imply a potential role of regional collaboration to control S. agalactiae, because molecular epidemiological data were linked to the zoonotic spread from farmed freshwater fish. These fish share phylogenomic analysis of ST238, similar to human and fish isolates from Thailand and Hong Kong. A second report confirms a pseudo-outbreak of Bacillus spp. bacteremia linked to contaminated hospital linen, with emphasis on the benefit of good hygienic practice in central supply and sterilization services. These collective efforts complement existing evidence for the advancement of infection prevention science in the Asia-Pacific region.Finally, 2 interesting outbreaks are reported in this issue. The first is a large food-borne outbreak of Healthcare in the Asia-Pacific region has had notable milestones in infection and prevention control. The publications in this issue support future work focused on continued generation of evidence and dissemination of data, ongoing microbial surveillance, and implementation, if not adoption, of effective prevention strategies to contain the spread of MDROs and key emerging infectious diseases in the region. We thank the Infectious Diseases Association of Thailand for its partial sponsorship of this issue and share our hope that the collective experience from the study contributors reporting work in this issue will serve as a 2017 platform for improvement in the science and practice of infection prevention in the Asia-Pacific region and in other resource-limited settings."}
+{"text": "Recent neuroimaging studies have shown altered brain connectivity in patients with schizophrenia, associated with disturbed myelination in different fiber tracts and disruptions of white matter (WM) integrity, including prefrontal WM. We aimed to perform a qualitative and morphometric study of the ultrastructure of oligodendrocytes, myelin-forming cells, in prefrontal WM in schizophrenia and normal controls.WM of the prefrontal cortex (Brodmann\u2019s area 10) was studied by transmission electron microscopy and morphometry. Size, volume density (Vv) and the number (N) of organelles in oligodendrocytes were estimated in 21 patients with schizophrenia and 20 normal matched controls. Pearson correlation analysis was performed to assess possible correlations between the parameters measured and age, post-mortem interval, neuroleptic treatment and duration of the disease. ANCOVA tests were used for group comparisons.Qualitative study showed swelling, vacuolation, paucity of ribosomes and mitochondria and accumulation of lipofuscin granules in oligodendrocytes in schizophrenia as compared to controls. Morphometry detected lowered Vv and N of mitochondria and higher Vv and N of lipofuscin granules and vacuoles in oligodendrocytes in the schizophrenic group as compared to the control group .Altered metabolism of oligodendrocytes, previously reported reduced number of oligodendrocytes, disrupted myelin/axon integrity, damage and progressive degeneration of myelin sheaths in prefrontal WM in schizophrenia may lead to disturbances in myelination, deficiency of nerve impulses propagation and contribute to network dysfunctions in schizophrenia. Oligodendrocyte and myelin abnormalities may be a target to prevent or restore WM abnormalities and dysfunction of neuronal connectivity in schizophrenia."}
+{"text": "The Learning Health System Network clinical data research network includes academic medical centers, health-care systems, public health departments, and health plans, and is designed to facilitate outcomes research, pragmatic trials, comparative effectiveness research, and evaluation of population health interventions.The Learning Health System Network is 1 of 13 clinical data research networks assembled to create, in partnership with 20 patient-powered research networks, a National Patient-Centered Clinical Research Network.Herein, we describe the Learning Health System Network as an emerging resource for translational research, providing details on the governance and organizational structure of the network, the key milestones of the current funding period, and challenges and opportunities for collaborative science leveraging the network. The Patient-Centered Network of Learning Health Systems (LHSNet) Clinical Data Research Network (CDRN) is 1 of 13 CDRNs assembled to create, in partnership with 20 Patient-Powered Research Networks (PPRN) .http://www.lhsnet.org) Web site provides a map illustrating the geographic locations of the participating sites and describes each of the partnering organizations in the network [The LHSNet comprises 9 participating organizations and includes data on nearly 10 million patients. The LHSNet . As defiThe LHSNet leverages existing infrastructure, health information technologies, and data standards to connect its 9 sites and to build the foundation to facilitate patient-centered outcomes research; support large pragmatic clinical trials, and observational and interventional comparative effectiveness studies embedded within the health-care systems; and enable the dissemination, implementation, and evaluation of clinical and community efforts to improve population health. LHSNet is configured as a distributed data model wherein The 9 LHSNet partners represent an array of health-care delivery system stakeholders. Members of LHSNet have been collaborating for more than a decade and have strong relationships with patients and communities, academic medical centers, universities, health-care systems, and payers across the United States. Three Clinical and Translational Science Award recipients participate in the LHSNet ; all 3 institutions have a long-standing history of strong research collaboration and community engagement. The Clinical and Translational Science Awards at Mayo Clinic, Ohio State University, and the University of Michigan established processes to expedite Institutional Review Board (IRB) approval for multisite trials by creating IRB reciprocity agreements as part of the Midwest Area Research Consortium for Health, a consortium of upper-Midwest Clinical and Translational Science Awards. This experience formed the basis for the LHSNet-wide expansion of the IRB reliance model.http://midwestresearchnetwork.org/). The Midwest Research Network was founded in 2011 by a core group of research and clinical organizations in the Midwest to support collaborative grant proposals and resource sharing for population health research. The history of collaboration among these groups provides a foundation of trust and cross-institutional knowledge upon which the LHSNet is built.Five of the LHSNet sites such as Allina Health System, Essentia Health, Medica Research Institute, Mayo Clinic, and Olmsted County Public Health Services are also members of the Midwest Research Network (http://www.hcsrn.org/en/). This national collaborative of research departments and health-care systems includes nearly 2000 scientists and research staff with multidisciplinary content and methodological expertise. The extensive experience in multisite research efforts and data sharing of the Health Care Systems Research Network serves as a rich resource for the LHSNet.Essentia Health and Medica Research Institute are also members of the Health Care Systems Research Network , which is a learning network of delivery systems dedicated to data-driven improvement to deliver high-value care. The primary aims of the HVHC, to evaluate, disseminate, and facilitate the adoption of high-value care models in health-care settings, are closely aligned to the goals of LHSNet. Thus, the experience gained by our members in HVHC greatly informs the planning and execution of LHSNet efforts.The LHSNet is also benefited by the experience and expertise of members of the High Value Health Care Collaborative (HVHC). Intermountain Healthcare and Mayo Clinic are both founding members of the HVHC and with PPRNs to collaboratively conduct research.The governance structure of the LHSNet is comprised of 3 councils to oversee network processes and functions including the Governance Council, the Workgroup Council, and the Advisory Council . The GovRegulatory Workgroup oversees IRB requirements relevant to the multi-organizational research efforts, including streamlining IRB processes, enabling rapid start-up capabilities, and obtaining IRB approvals. The LHSNet Research Workgroup leads efforts to define clinical cohorts and integrate research into clinical practice. The Data Linkage and Data Governance Workgroup is responsible for enabling EHR and claims data linkages, informing data governance policies, and ensuring data completeness. The PCORnet (Informatics) Workgroup is tasked with the major technical aspects of developing the network including development of the following: the PCORnet CDM, the PCORnet Distributed Research Network Architecture, and basic PCORnet query capability. This workgroup is also responsible for data quality, informatics innovation, development of computable phenotypes, and enhancement of the PCORnet CDM. The Governance and Collaboration Workgroup leads the development of governing policies for research and collaboration. Finally, the Engagement Workgroup is leading efforts to understand existing patient engagement efforts across the network and to establish network-wide patient and stakeholder engagement strategies.Several workgroups have been assembled, including representatives from each participating site, to meet the required deliverables for the network . The RegAs one of the more recently funded CDRNs in PCORnet, the LHSNet is committed to meet an ambitious set of milestones within the 36-month period of performance. Key milestones, many of which have already been achieved, include the following: streamline IRB requirements across sites through development of a central IRB; increase data linkage for EHR and claims data from 1 million to 3 million lives; demonstrate full functionality of data mapping from each site to the PCORnet CDM; establish PopMedNet Node and demonstrate the ability to execute a basic query across sites; develop computable phenotypes for identifying condition-specific cohorts; validate cases for the 3 established disease cohorts ; and participate in a formally designated PCORnet study.Despite successful completion of milestones in the first 6 months of this project, we anticipate organizational, regulatory, and technical challenges as we ready the LHSNet for patient-centered comparative effectiveness research as part of the national PCORnet infrastructure . The LHSAs LHSNet works toward streamlining IRB infrastructure to support multisite research, ethical and regulatory challenges will need to be addressed. Systems will need to comply with the ethical and regulatory requirements of each site and support informed consent and enrollment of patients in an efficient manner across participating sites. Several members of LHSNet bring expertise in clinical research and clinical trials, including centralized IRBs and the identification of eligible patients using EHRs. This expertise will guide our efforts toward a centralized IRB and virtual patient consenting. Currently, members of LHSNet have signed master reliance agreements for Mayo Clinic to serve as the IRB of record. However, by January of 2017, LHSNet will adopt the Streamlined, Multisite, Accelerated Resources for Trials IRB Reliance Platform developed by the National Center for Advancing Translational Science. The National Center for Advancing Translational Science Streamlined, Multisite, Accelerated Resources for Trials IRB reliance model provides flexible resources to LHSNet investigators to harmonize and streamline IRB review through a set of agreements and standard operating procedures that enables each site to cede IRB approval to the institution leading the research effort.Technical challenges regarding observational research and longitudinal data capture, standardization and harmonization must be addressed by each participating site within LHSNet without disrupting the ways in which clinical data are routinely collected. Each site has successfully populated their DataMart as per the requirements of the CDM and is able to return data in response to data queries. However, individual research projects may require ongoing changes to the CDM. Furthermore, data capture must also be nimble enough to accommodate ongoing changes in clinical practice and related routine data collection. Technical challenges are also likely to be encountered in our planned data linkage efforts, as well as in the development and execution of computable phenotypes. Several members of LHSNet have robust expertise with methods and tools for longitudinal health-care data standardization, data linkage, data privacy, natural language processing, and computable phenotyping from EHRs and administrative claims. This expertise will guide our approach to addressing technical challenges as they emerge.The LHSNet is being developed as an LHS, including diverse members across a wide geographic region, to support clinical and translational research. As part of the PCORnet infrastructure, the LHSNet will enjoy the broader reach and potential for impact of the national research network. The PCORnet national data research network is being developed to support participation and data sharing with external investigators who are willing to participate in research studies in conjunction with the PCORI-funded CDRNs. Thus, opportunities for leveraging these networks for clinical and translational science will emerge as the networks mature.The LHSNet federated approach to an LHS has enormous potential to increase the efficiency with which clinical and biomedical knowledge is created, validated, and translated into practice . As a re"}
+{"text": "Experiments in rodents have elucidated some of the molecular mechanisms underlying repetitive transcranial magnetic stimulation (rTMS). These studies may be useful in a translational perspective so that future TMS studies in rodents can closely match human TMS protocols designed for therapeutic purposes. In the present work we will review the effects of rTMS on glutamate neurotransmission which in turn induce persistent changes in synaptic activity. In particular, we will focus on the role of NMDA and non-NMDA transmission and on the permissive role of BDNF-TrKB interaction in the rTMS induced after-effects. Experiments in rodents are indeed valuable in providing information about the molecular mechanisms of action of repetitive transcranial magnetic stimulation (rTMS). From the hitherto published work on TMS/rTMS in rodents of almost two decades, it is possible to formulate a working hypothesis on the mechanism of action of rTMS so that future TMS studies in rodents can closely match human TMS protocols. The effects of rTMS in rodents are greatly dependent on: (1) the frequency and field intensity of the stimulation; (2) the acute and chronic mode of treatment; (3) the total number of pulses; (4) the shape and dimension of coils; and (5) the state, either anesthetized or awake, of the animals. Experimental evidences in rodents indicate that rTMS produces complex neurobiochemical effects such as induction of immediate early genes, changes in modulation of neurotransmitters release, effects on glutamate AMPA receptor/NMDA receptor expression , action on neuroendocrine systems, neuroprotective effects by reducing oxidative stress and inflammation, and a powerful activation of neurotrophic factors (Cirillo et al., ++ ions. Once sufficient numbers of AMPA receptors are activated, the membrane is depolarized from resting to active potential, the magnesium blockade is relieved, and the NMDA receptors are opened (Fleming and England, Having said that rTMS provides sustained effects, how does rTMS induce long lasting changes in cortical excitability? An important upstream regulator of synaptic plasticity is the BDNF-TrkB system. Indeed, we showed that 5-day rTMS enhances BDNF binding affinity for TrkB, BDNF-TrkB signaling, and NMDA receptor\u2013TrkB interaction in rat prefrontal cortex (Wang et al., in vitro model that rTMS may increase the steady state current in the presynaptic compartment independently from NMDA postsynaptic transmission. In this way, it is likely that longer duration rTMS protocol may enhance these presynaptic steady state currents thus prolonging the TMS induced after-effects (Banerjee et al., Despite the role of post-synaptic NMDA transmission on the long lasting effects of rTMS seems very clear, on the other hand there are evidences suggesting the involvement of presynaptic glutamatergic mechanisms (Banerjee et al., TS: study conception, drafting of the ms; MG, HW, and PB: critical revision; EM: critical revision, analysis of animal literature; DR: critical revision, clinical implications; AQ: study conception, drafting of the ms, crafting of the ms.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest. The reviewer DP and handling Editor declared their shared affiliation, and the handling Editor states that the process nevertheless met the standards of a fair and objective review."}
+{"text": "Language disorders can be the first symptom of many neurodegenerative diseases, including Alzheimer's disease (AD) and primary progressive aphasia (PPA). The main variants of PPA are: the non-fluent/agrammatic variant, the semantic variant and the logopenic variant.Several additional variants of PPA, however, have been described and are considered as atypical presentations.We describe the case of a woman presenting a progressive isolated language disturbance, characterized by an early dysprosodia, phonological and semantic paraphasias, agrammatism, impairment in repetition, writing of non-words and sentence comprehension. This clinical picture pointed to an atypical presentation of the non-fluent variety. The frequent symptom overlap between the different variants of PPA, most likely reflecting differences in the topography of the pathological changes, needs to be considered in the definition of diagnostic criteria."}
+{"text": "Neuroscience began with neuroanatomy and neurosurgery in Egypt more than 5000 years ago. Knowledge grew over time and specialized neurosurgery centers were established in north Africa in the eleventh century. However, it was not until the twentieth century that neuroscience research became established in sub-Saharan Africa. In most African countries, clinical research focused on understanding the rationale and improving treatment of epilepsy, infections, nutritional neuropathies, stroke and tumors. Significant advances were made. In the twenty-first century, African knowledge expanded to include all branches of neuroscience, contributing to genetic, biochemical and inflammatory determinants of brain disorders. A major focus of basic neuroscience research has been, and is, investigation of plant extracts, drugs and stress in animal models, providing insight and identifying potential novel therapies. A significant event in the history of African neuroscience was the founding of the Society of Neuroscientists of Africa (SONA) in 1993. The International Brain Research Organization (IBRO) supported SONA conferences, as well as workshops and neuroscience training schools in Africa. Thanks to their investment, as well as that of funding agencies, such as the National Institutes of Health (NIH), International Society for Neurochemistry (ISN), World Federation of Neurosurgical Societies (WFNS), World Federation of Neurology (WFN) and the International League Against Epilepsy (ILAE), neuroscience research is well-established in Africa today. However, in order to continue to develop, African neuroscience needs continued international support and African neuroscientists need to engage in policy and decision-making to persuade governments to fund studies that address the unique regional needs in Africa. The earliest evidence of neuroscience research dates back more than 5000 years. Egyptian embalmers were the first to obtain knowledge of human anatomy through the mummification process. However, they had very little regard for the brain and did not try to preserve it , nutritional neuropathies, stroke, tumors, motor disorders and the adverse effects of snake venom Lambo, . SignifiIt is impossible to do adequate justice to all of the neuroscience research that has been carried out in Africa. This mini-review will therefore trace a few of the major trends based on a PubMed search of neuro-related publications by African neuroscientists in the eight African countries listed as having an H index of 20 or greater, in the SCImago Journal & Country Rank Report 2016)61).In the twentieth and twenty-first centuries, neuroscience research in Tunisia and Algeria involved mostly clinical studies on neurogenetics and movement disorders an addictive psychostimulant grown in abundance in Kenya and impairment of executive function in children with malaria, to name a few 2016; IdrOver the years, science-based non-profit organizations such as the International Brain Research Organization (IBRO) have supported African neuroscientists and helped to build scientific capacity for sustainable education and research by sponsoring training courses and workshops across Africa. Training programmes in Neurosurgery, Neurology and basic Neuroscience, supported by, the World Federation of Neurosurgical Societies (WFNS), the World Federation of Neurology (WFN), the Society of French Speaking Neurosurgeons (SNCLF) the International League Against Epilepsy (ILAE), the National Institutes of Health (NIH), IBRO and the International Society of Neurochemistry (ISN), amongst others, have led to the production of many generations of neuroscientists in Africa. IBRO and ISN, in particular, have engaged in basic neuroscience with a strong translational approach to brain disorders in Africa. IBRO African Centres for Advanced Training in Neuroscience have been established in Morocco and South Africa. WFNS-recognized Centres of Excellence for training neurosurgeons have been established in Nigeria, Ivory Coast, Senegal, Kenya, Zimbabwe and South Africa by James Kimani in 1993. IBRO generously supported SONA conferences, as well as several workshops and neuroscience training schools in more than 14 African countries. Thanks to their investment, as well as that of the other funding agencies, neuroscience research is well-established in Africa. However, in order to continue to develop, African neuroscience needs continued international support and African neuroscientists need to engage in policy and decision-making to persuade governments to fund studies of unique regional needs in Africa (Bentivoglio et al., VAR wrote the mini-review.The author declares that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Based on a great number of literatures, we established the database about the Chinese endemic seed plants and analyzed the compositions, growth form, distribution and angiosperm original families of them within three big natural areas and seven natural regions. The results indicate that the above characters of Chinese endemic plants take on relative rule at the different geographical scales. Among the three big natural areas, Eastern Monsoon area has the highest endemic plants richness, whereas Northwest Dryness area is the lowest. For life forms, herbs dominate. In contrast, the proportion of herbs of Eastern Monsoon area is remarkable under other two areas. Correspondingly the proportions of trees and shrubs are substantially higher than other two. For angiosperm original families, the number is the highest in Eastern Monsoon area, and lowest in Northwest Dryness area. On the other hand, among the seven natural regions, the humid and subtropical zone in Central and Southern China has the highest endemic plants richness, whereas the humid, hemi-humid region and temperate zone in Northeast China has the lowest. For life forms, the proportion of herbs tends to decrease from humid, hemi-humid region and temperate zone in Northeast China to humid and tropical zone in Southern China. Comparably, trees, shrubs and vines or lianas increase with the same directions. This fully represents these characters of Chinese endemic plants vary with latitudinal gradients. Furthermore, as to the number of endemic plants belonging to angiosperm original families, the number is the most in humid and subtropical zone in Center and Southern China, and tropical zone in Southern China in the next place. In contrast, the endemic plant of these two regions relatively is richer than that of The Qinghai-Tibet alpine and cold region. All above results sufficiently reflect that the Chinese endemic plants mainly distribute in Eastern Monsoon area, especially humid and subtropical zone in Center and Southern China and tropical zone in Southern China. Furthermore, the flora of Eastern Monsoon area, in particular humid and subtropical zone in Center and Southern China and tropical zone in Southern China, is more ancient and original than that of Northwest Dryness area and Qinghai-Tibet alpine and cold area. Almost mountain . This clmountain , and makmountain ,6, but amountain ,7.Formation and changes of land and sea, climate change, large-scale mountain or plateau uplift as well as regional ecological complications play different and important roles in speciation and diversification of flora. They all directly or indirectly affect speciation, differentiation, migration, extinction and preservation of flora. The early Paleozoic Caledonian movement makes land lift and Chinese continent disperse. Main mountains in northeast and northwest China and Qinling Mountains formed in later Paleozoic Hercynian tectonic period. In this period, Chinese continent was connected to the Siberian continental platform, and Tianshan Mountain was interlinked with mountains and plateau of central Asia. Tanggula mount, Karakoram and Hengduan mountains were formed during Yanshanian Tectonic Period between Mesozoic Jurassic and before Cenozoic . In the In recently years, China has been developing in the field of biodiversity research including Species Catalogue, biodiversity monitoring, phylodiversity, biodiversity informatics and biodiversity conservation \u201315. EndeMany studies on biodiversity conservation and endemism of Chinese flora have carried out across China \u201327. ChinFlora of China [Flora Reipublicae Popularis Sinicae [According to checklist of Chinese endemic seed plant species , we compof China and Flor Sinicae , b) locaAccording to map of geographical regions of China , we digiWe analyzed the compositions of both the Chinese endemic plants and local endemic plants , and counted quantitative characteristics of each main group in terms of different growth forms. To detect the distribution pattern of Chinese endemic seed plant species in the entire country, we calculated Chinese endemic plants richness and local endemic plants richness separately. In addition, we compared and analyzed compositional characteristics of original taxa for each geographical region according to checklist of orders and families for original taxa . All calChinese endemic seed plants are very unevenly distributed in natural geographical units. In three geographical areas, the Eastern Monsoon area is highest in number of endemic plants, while the Northwest Dryness area is lowest in that . Ratio oChinese endemic plants are mostly limited to relatively narrow areas . Only 7.Chinese endemic seed plants were divided into four kinds of growth forms: tree, shrub, herb, and liana or vine. Herb is dominant in any geographical region Tables , Fig 3. Halerpestes tricuspis var. heterophylla and Berberis farreri, are present commonly in both the Northwest Dryness area and the Qinghai-Tibet alpine and cold area, but are absent in the Eastern Monsoon area. One thousand three hundred and twenty Chinese endemic plants (accounting for 62.3%) from 18 original families are distributed restrictively within the Eastern Monsoon area. Only 56 Chinese endemic plants (accounting for less than 2.6%) form original families are limited in the Northwest Dryness area. There are 310 Chinese endemic plants (accounting for 14.6%) distributed limitedly within the Qinghai-Tibet alpine and cold area. These endemic plants mainly belong to Ranunculaceae, Papaveraceae, Berberidaceae and Lauraceae.There are 2120 Chinese endemic plants belonging to 19 original families in ChinaRanunculus furcatifidus and Clematis akebioides, which both belong to Ranunculaceae family, are common endemic plants in seven geographical regions. Four Chinese endemic plants, which all belong to Ranunculaceae family, are common in six geographical regions. Thirty Chinese endemic plants, which are dominant in Ranuculaceae, are common in five geographical regions. Eighty six Chinese endemic plants are common in four geographical regions. These endemic plants belong to Ranunculaceae, Papaveraceae, Berberidaceae. There are 1409 endemic plants (accounting for 66.5%) from original families present in the humid and subtropical zone in Center and Southern China (Geo3). Among of them, 653 plants (accounting for 30.8%) are restricted in this geographical region. There are 744 endemic plants (accounting for 35.1%) from original families present in the humid and tropical zone in Southern China (Geo4). Among of them, 255 plants (accounting for 12.0%) are restricted in this geographical region.Only Chinese endemic seed plant species are very unevenly distributed in three geographical areas and seven geographical regions. The Northwest Dryness area is arid because Qinghai-Tibet Plateau, Qinling Mountains, Taihang Mountain, and Yanshan and Da Hinggan Ling Mountain prevent The proportions of tree, shrub, and liana or vine in the Eastern Monsoon area are higher than that of in the Northwest Dryness area and in the Qinghai-Tibet alpine and cold area. On the contrary, the proportion of herb in the Eastern Monsoon area is less than that of in the Northwest Dryness area and in the Qinghai-Tibet alpine and cold area. Herb is considered to be more evolutionary group than tree . On thisBoth Chinese endemic plants richness and local endemic plants richness are higher in the humid and subtropical zone in Center and Southern China than that in the Qinghai-Tibet alpine and cold area. This might implicate that endemic flora in the humid and subtropical zone in Center and Southern China is older than that in the Qinghai-Tibet alpine and cold area . ConsideChinese endemic plants take on relative rule at the different geographical scales. The Chinese endemic plants mainly distribute in Eastern Monsoon area, especially humid and subtropical zone in Center and Southern China and tropical zone in Southern China. The flora of Eastern Monsoon area, in particular humid and subtropical zone in Center and Southern China and tropical zone in Southern China, is more ancient and original than that of Northwest Dryness area and Qinghai-Tibet alpine and cold area.S1 Table(DOC)Click here for additional data file.S1 Appendix(XLSX)Click here for additional data file.S2 Appendix(DOC)Click here for additional data file."}
+{"text": "Antimicrobial use in food-producing animals selects for antimicrobial resistance that can be transmitted to humans via food or other transmission routes. The World Health Organization (WHO) in 2005 ranked the medical importance of antimicrobials used in humans. In late 2017, to preserve the effectiveness of medically important antimicrobials for humans, WHO released guidelines on use of antimicrobials in food-producing animals that incorporated the latest WHO rankings.WHO commissioned systematic reviews and literature reviews, and convened a Guideline Development Group (GDG) of external experts free of unacceptable conflicts-of-interest. The GDG assessed the evidence using the Grading of Recommendations Assessment, Development and Evaluation (GRADE) approach, and formulated recommendations using a structured evidence-to-decision approach that considered the balance of benefits and harms, feasibility, resource implications, and impact on equity. The resulting guidelines were peer-reviewed by an independent External Review Group and approved by the WHO Guidelines Review Committee.These guidelines recommend reductions in the overall use of medically important antimicrobials in food-producing animals, including complete restriction of use of antimicrobials for growth promotion and for disease prevention . These guidelines also recommend that antimicrobials identified as critically important for humans not be used in food-producing animals for treatment or disease control unless susceptibility testing demonstrates the drug to be the only treatment option.To preserve the effectiveness of medically important antimicrobials, veterinarians, farmers, regulatory agencies, and all other stakeholders are urged to adopt these recommendations and work towards implementation of these guidelines. The increasing prevalence of antimicrobial resistance is a worldwide problem , 2. AntiTo address the growing public health problem of antimicrobial resistance, the 68th World Health Assembly adopted the World Health Organization\u2019s (WHO) Global Action Plan on Antimicrobial Resistance (GAP) in May 2015 . The WHOAntimicrobials are widely used in food-producing animals for therapeutic use , prophylactic use , and growth promotion use (to improve rate of gain or feed efficiency) . Such usWith the ever growing public health threat of antimicrobial resistance and the recognized need to preserve the effectiveness of medically important antimicrobials, particularly those antimicrobials judged to be critically important to human medicine on the WHO CIA List, WHO elected to develop formal, evidence-based, guidelines on use of antimicrobials in food producing animals.WHO Handbook for Guideline Development, three groups were organized [In accordance with the rganized . A WHO SA Guideline Development Group (GDG), comprised of thirteen external experts from five WHO regions with expertise in clinical human medicine, infection prevention and control, evidence-based medicine, tropical medicine, epidemiology, veterinary medicine, microbiology, infectious diseases, public health, antimicrobial resistance, economics and veterinary ethics. The GDG assessed the available evidence and formulated recommendations. One member of the GDG was a Grading of Recommendations Assessment, Development and Evaluation (GRADE) methodologist. GDG members were selected in a way that sought geographic representation and gender balance, and avoided conflicts of interest. An External Review Group (ERG), composed of eleven technical experts and stakeholders with interest in use of antimicrobials in food-producing animals including veterinarians, microbiologists, animal scientists, public health practitioners, food safety experts, public health policy officials, and physicians. The ERG reviewed the final draft of the guidelines to identify errors of fact and commented on the clarity of the language, contextual issues and implications for implementation.http://apps.who.int/iris/bitstream/10665/258970/1/9789241550130-eng.pdf). Following a public solicitation for applications, the WHO Steering Group selected the applications from teams at Bond University and University of Calgary (Canada). The systematic review teams interacted regularly with the WHO Steering Group but worked independently of each other.WHO commissioned systematic reviews of the published evidence that restrictions in use of antimicrobials in food-producing animals reduced the prevalence of antimicrobial resistance in bacteria isolated from food-producing animals and humans and March 2017 . The GDG formulated recommendations based upon the summarized evidence and judgments of the overall quality of the evidence. Using the GRADE approach, the GDG also judged the strength of each recommendation by considering the importance of the problem, the quality of evidence, the balance between benefits and harms, the values and preferences of affected populations, resource implications, the impact on equity, human rights, gender and social determinants of health, acceptability, and feasibility [As per WHO regulations, all external experts and contributors disclosed their secondary interests prior to participating in the WHO guideline development process. When a conflict of interest was identified, WHO followed standard procedures to determine whether or not the expert was permitted to participate in the guideline development process. A biographical sketch of each nominated GDG member was posted online for public comments. The WHO Steering Group reviewed all information gathered before approving final GDG membership.Governments of Japan and The Netherlands provided funding for the guidelines but were not involved with guidelines development. WHO facilitated the development of the WHO Guidelines, in accordance with the WHO guideline development process, and provided additional funding for the guidelines.http://apps.who.int/iris/bitstream/10665/259241/1/WHO-NMH-FOS-FZD-17.2-eng.pdf.The systematic reviews yielded a large number of studies that demonstrated a consistent decrease in the prevalence of antimicrobial resistance in bacteria isolated from food-producing animals or humans following restrictions on use of medically important antimicrobials in food-producing animals. The Bond University systematic review team provided a narrative report of the quality of, and summary of findings from, 93 studies and concluded that limiting the antimicrobial use in food animals is likely to reduce the presence of antimicrobial resistance in food \u2013producing animals and humans. The University of Calgary systematic review team provided a quantitative report from 177 studies that included an assessment of the quality of the primary studies and provided a meta-analysis of the risk differences for reductions in the prevalence in antimicrobial resistance reported with various restrictions on antimicrobial use in food producing animals . The Unihttp://apps.who.int/iris/bitstream/10665/259241/1/WHO-NMH-FOS-FZD-17.2-eng.pdf .Of the three commissioned content specific literature reviews, one review provided evidence from illustrative examples of probable transfer of resistant determinants for streptothricins, glycopeptides and colistin from food-producing animals to humans . The sechttp://apps.who.int/iris/bitstream/10665/259242/1/WHO-NMH-FOS-FZD-17.3-eng.pdf .The evidence presented to the GDG was predominately from observational and ecologic studies. Additionally, the systematic reviews found few studies from middle-income and low-income countries, and few studies included small-scale food-producing animal operations. Despite these limitations, the GDG determined that there was sufficient evidence that use of medically important antimicrobials in food-producing animals selects for antimicrobial resistance in bacteria, and that such antimicrobial resistant bacteria can be transmitted to humans, including in middle-income and low-income countries, and small-scale operations. Summaries of the information used by the GDG to develop best practice statements and recommendations related to the use of medically important antimicrobials in food-producing animals, including evidence profiles, summary of findings tables, and evidence-to-recommendations tables, are available at Any new class of antimicrobials or new antimicrobial combination developed for use in humans will be considered critically important for human medicine unless categorized otherwise by WHO.Medically important antimicrobials which are not currently used in food production should not be used in the future in food production, including in food-producing animals or plants.The GDG developed two best practice statements for classes of antimicrobials not currently used in food-producing animals.The GDG judged that these best practice statements were needed to provide a basis for taking actions to preserve the effectiveness of critically important antimicrobials for humans that are not currently used in food-producing animals. Furthermore, given the critical need for new classes of antimicrobials for the treatment of some serious and life-threatening infections in humans, the development and eventual marketing of new classes of antimicrobials will likely be antimicrobials required for infections in humans with no or limited treatment options.Since these antimicrobials are not yet used in food-producing animals, direct evidence is not available. Instead, the best practice statements are supported by considerable indirect evidence, including a large body of evidence from the systematic reviews and from mechanistic studies of antimicrobial resistance , 19.An overall reduction of use of all classes of medically important antimicrobials in food-producing animals is recommended. .Complete restriction of use of all classes of medically important antimicrobials in food-producing animals for growth promotion is recommended. .Complete restriction of use of all classes of medically important antimicrobials in food-producing animals for prevention of infectious diseases that have not yet been clinically diagnosed is recommended. .It is suggested that antimicrobials classified as highest-priority critically important for human medicine should not be used for treatment of food-producing animals with clinically diagnosed infectious disease. It is also suggested that antimicrobials classified as critically important for human medicine should not be used for control of the dissemination of a clinically diagnosed infectious disease identified within a group of food-producing animals. .The GDG developed four recommendations, supported by both direct and indirect evidence, concerning the use of medically important antimicrobials in food-producing animals.The GDG determined that the first three recommendations should be strong despite the low-quality evidence due to the large human health benefits of lowered prevalence of antimicrobial resistance in bacteria isolated from humans and the limited evidence of undesirable consequences of restrictions on antimicrobial use of medically important antimicrobials in food producing animals. Specifically, there was a large amount of consistent evidence from the systematic reviews and the literature reviews that resistant bacteria can spread among food-producing animals, into their environment, and to humans, and that restrictions on use of antimicrobials in food-producing animals reduces the prevalence of antimicrobial resistance in bacteria isolated from food-producing animals that are, and can be, transmitted to humans. The GDG also concluded that for the fourth recommendation, although evidence from the systematic reviews and additional studies indicates it will achieve the human health benefit of lowered antimicrobial resistance in bacteria, this recommendation should be conditional due to the very low quality of available evidence. In order to protect animal health and welfare, the GDG concluded that exceptions to recommendations 4a and 4b can be made when, in the judgement of qualified veterinary professionals, susceptibility results demonstrate that the selected drug is the only treatment option.The GDG also concluded that in order for people in all countries to realize the benefits of continued effectiveness of medically important antimicrobials, the recommendations in these guidelines should be applied in all animal production settings and in all countries.With the recognition of the need to reduce the use of medically important antimicrobials in food-producing animals, the GDG identified the following research areas which can be addressed to help facilitate reduced antimicrobial use: identifiThe use of antimicrobials in food-producing animals has been a public health concern for decades . In 1997In accordance with the WHO guideline development process , the GRAThe GRADE approach follows a rigorous and transparent process, and is the most widely used approach for evidence appraisal for guideline development. The GRADE approach was initially developed for decision-making in clinical settings, where randomized clinical trials are commonly available. It rates evidence derived from randomized controlled trials as high quality, while evidence from epidemiological studies, surveillance programmes and other sources of observational data, in which confounding cannot be adequately controlled, is rated as \u201clow quality\u201d. In common with many important public health issues, due to ethical and technical complexity, there are no randomized controlled studies that have assessed associations between use of antibiotics in food-producing animals and risks of human exposure to infection by drug-resistant zoonotic pathogens. Most of the supporting scientific evidence, representing the best available evidence, was collected from epidemiological studies, surveillance programmes and observational studies. In addition to the quality of the evidence and the balance of benefits and harms of an intervention, a number of other factors are considered when GDGs formulate recommendations. These factors include the relative value placed on the potential beneficial and harmful outcomes of an intervention, the acceptability and feasibility of the intervention, resource considerations, and effects on equity across subpopulations. A \u201cstrong recommendation\u201d means that after taking all relevant considerations into account, the GDG is reasonably certain that the desirable consequences (benefits) of an intervention outweigh the undesirable consequences (risks or harms), such that the intervention should be implemented in most settings.The GRADE approach has been used successfully in public health settings where only observational studies are available. There are challenges, however, in using the GRADE approach in all settings, especially in the formulation of recommendations on complex interventions in public health settings . AlthougUsing the rigorous and transparent WHO guideline development process, the GDG determined that three of the four recommendations on use of medically important antimicrobials in food-producing animals should be strong recommendations given (1) the large body of evidence from the commissioned systematic reviews using a rigorous and evidence based approach of the strength and consistency of the association between restrictions of antimicrobial use in food-producing animals and antimicrobial resistance in animals and humans, (2) the suggestion of a dose-response relationship with this association, (3) the large potential health benefits, and (4) the evidence of limited unintended consequences. The GDG also recommended implementation of the WHO guidelines worldwide. As with all WHO guidelines related to food safety, implementation relies on the impetus of Member States and other stakeholders, including the FAO/WHO Codex Alimentarius Commission, to translate the recommendations into national and international standards or guidance. In order to reach the overall goal of reducing antimicrobials in food-producing animals, there is a particular need to identify management alternatives for use of antimicrobials for disease prevention. The GDG acknowledged that implementation in lower-income or middle-income countries may require special considerations such as assistance in improvement of hygienic and agricultural practices including improved housing and husbandry. Furthermore, many countries may need technical and laboratory capacity building assistance for conducting the recommended bacterial culture and antimicrobial susceptibility testing. It is important for countries to conduct surveillance and monitoring of antimicrobial usage in food-producing animals to evaluate the effectiveness of any interventions.In conclusion, the WHO guidelines recommend overall reduced use of medically important antimicrobials in food-producing animals, including complete restriction of uses of medically important antimicrobials for growth promotion and for disease prevention. Exceptions for disease prevention can be accepted when based upon the judgement of a veterinary professional and if such judgement is based on recent culture and sensitivity testing results. The WHO Guidelines also suggested that antimicrobials identified as critically important for human medicine not be used in food-producing animals for treatment or disease control unless susceptibility testing demonstrates the drug to be the only treatment option. To preserve the effectiveness of medically important antimicrobials, all stakeholders should implement the recommendations in the WHO guidelines. Such implementation will support the WHO GAP to control antimicrobial resistance by reducing unnecessary use of antimicrobials in food-producing animals."}
+{"text": "Challenges posed by demographic changes and population aging are key priorities for the Horizon 2020 Program of the European Commission. Aligned with the vision of the European Innovation Partnership on Active and Healthy Ageing (EIP on AHA), the development, exchange, and large-scale adoption of innovative good practices is a key element of the responses required to ensure all European citizens remain as active and healthy as possible as they age. Urged by the need of developing scalable disruptive innovation across Europe, the European Commission and the EIP on AHA created the Reference Sites; local coalition of partners that develop good practices to support AHA. Ageing@Coimbra is an example of how this can be achieved at a regional level. The consortium comprises over 70 institutions that develop innovative practices to support AHA in Portugal. Ageing@Coimbra partners support a regional network of stakeholders that build a holistic ecosystem in health and social care, taking into consideration the specificities of the territories, living environments and cultural resources . Good practices in reducing the burden of brain diseases that affect cognition and memory impairment in older people and tackling social isolation in urban and rural areas are among the top priorities of Ageing@Coimbra. Profiting from the collaborative work of academia, business companies, civil society, and authorities, the quadruple helix of Ageing@Coimbra supports: early diagnosis of frailty and disease; care and cure; and active, assisted, and independent living. This paper describes, as a Community Case Study, the creation of a Reference Site of the EIP on AHA, Ageing@Coimbra, and its impact in Portugal. This Reference Site can motivate other regions to develop innovative formulas to federate stakeholders and networks, building consortia at regional level. This growing movement, across Europe, is inspired by the quadruple helix concept and by the replication of innovative good practices; creating new Reference Sites for the benefit of Citizens. Europe faces the global challenge of population aging with strong impact in the quality of life of individuals and families, society cohesion, health, and economic resources of citizens and member states. The percentage of people aged 65 or over in the population is expected to grow from 18.4% in 2013 to 28.4% in 2060 for the average of European countries of 143.9 in 2015 compared to 27 in 1960.Within Portugal, the population living in the Centre Region is particularly old due to the increase in life expectancy, migration of young adults and decrease in birth rate. Within the Centre Region, some areas are already facing the demographic scenarios expected for the European landscape in 2060, e.g., municipalities with Ageing Index above 700.Taking together, the demographic landscape of Europe, with a particularly and striking case in Portugal, urges the need of defining new strategies and implementing actions to deliver innovative and disruptive solutions. These solutions are expected to have impact at the individual, family, labor, societal, and economic dimensions to support individual health and well-being, at all ages, and deliver solutions to support health and social care sustainability. As we will elaborate bellow, the EIP on AHA movement, and the particular case of Ageing@Coimbra (as a Community Case Study), may be inspiring for the required change management processes, delivering solutions for the challenges of aging and opening new opportunities for economic growth.The EIP on AHAThe EIP on AHA grew from recognition that the quality of life of older people is strongly affected by life style habits across the life cycle in all ages. Many older people suffer from multiple chronic conditions that demand continuous support by medical and social care providers and limit functional independence. Ultimately, poor health in later life strongly impacts on health and economic resources, human suffering, human dignity of individuals, and families .The EIP on AHA fosters collaborative work of European partners to support three main strategic pillars of AHA: (1) prevention, screening, and early diagnosis; (2) care and cure; (3) independent living and active aging. EIP on AHA partners are organized in six action groups: A1, adherence to prescription and medical plans; A2, personalized health management and prevention of falls; A3, lifespan health promotion and prevention of age-related frailty and disease; B3, replicating and tutoring integrated care for chronic diseases; C2, development of interoperable independent living solutions; D4, innovation for age-friendly buildings, cities and environments.The main goal is to achieve a triple win for Europe: (1) Health and quality of life of European citizens; (2) Sustainable and efficient care systems; and (3) Growth and expansion of EU industry.EIP on AHA is a wide interdisciplinary and transdisciplinary network that seeks innovative collaborative models, removing silos and developing citizen-centered processes. EIP on AHA partners joint academia, health, and social care providers, citizens and patient associations and several other stakeholder groups with innovators, entrepreneurs, and business partners. The aim is to deliver knowledge and user-based competence into innovative good practices, products, and services. Only disruptive innovation and knowledge-based added value will deliver efficient meaningful large-scale interventions to face the societal challenges, opening, at the same time, new opportunities for entrepreneurs, business activity, and job creation , 4.Reference Sites have been defined by the EIP on AHA as \u201cinspirational ecosystems, delivering creative and workable solutions that improve the lives and health of older people.\u201dReference Sites include regions, cities, integrated hospitals, or care organizations that focus on innovative and holistic approaches to support AHA. Reference Sites show diverse levels of impact and maturity toward the goal standard of regional ecosystems aligning actors across the quadruple helix: academia, authorities, business, and civil society. The impact of the activities of Reference Sites provides evidence of innovative components, and indicators are measurable in line with the Monitoring and Assessment Framework of the EIP on AHA (MAFEIP), under the dimensions \u201cQuality of life,\u201d \u201cSustainability of health-care systems,\u201d and \u201cEconomic growth and jobs.\u201dThe first call for Reference Sites by the European Commission resulted in the award of 32 Reference Sites in 2013. The second call led to a total of 74 Reference Sites in 2016. Recently , the Reference Sites launched a non-profit association based in Brussels to promote synergies and collaborative work \u2014the Reference Site Collaborative Network .The Ageing@Coimbra ConsortiumAgeing@Coimbra is an informal network of 5 founder and 65 associated partners that build a \u201cquadruple helix\u201d, aligning: (1) public institutions , (2) academia , (3) industry partners , and (4) civil society organizations . The consortium was founded under a leadership initiative of the University of Coimbra, the Municipality of Coimbra, the Regional Health Authority, the University of Coimbra Hospital, and the Pedro Nunes Institute . The Administrative Authority of the Centre Region of Portugal has been a major supporter and driver for the success of Ageing@Coimbra, actively engaging in the implementation of activities, international visibility and ownership of responsibility to include AHA in the key priorities of the Smart Specialization Strategy (RIS3) of the Center Region of Portugal. In 2017, CCDRC launched a regional competition to award three cases of good practices in three clusters: Knowledge, Health, and Life.Ageing@Coimbra was the first EIP on AHA Reference Site in Portugal. The innovative formula and lean governance structure created an inclusive partnership with agility, rapid implementation, and growth potential. Concordantly, other regions in Portugal and regions in other European countries embraced Ageing@Coimbra example to replicate the model and launched new reference sites in 2016, or they will do so in a future call expected for 2019. The same example has replication potential in other countries in Europe and globally .As an active member of EIP on AHA Action Groups, Ageing@Coimbra participates in the collaborative activities and delivers success cases of projects and good practices.Multimorbidity and the related prescription of multiple drugs are becoming common problems among older people, frequently associated with poor health outcomes, being inadequate and/or poor adherence to medical plans one of the relevant factors that compromise the success of treatments . TherefoThe collaborative work of Ageing@Coimbra in the A1 Action Group resulted in the successful development of the third Health Program Project SIMPATHY (Stimulating Innovative Management of Polypharmacy and Adherence in the Elderly), a project coordinated by the Scottish Government (Grant Agreement 663082)falls are a major indicator of increasing frailty and loss of independence and mobility in older people.\u201d The main objective of the A2 Action Group has been to deliver EU wide evidence-based, validated and operational programs for the prevention, early identification, and minimization of risk and management of falls in order to reduce falls and the personal, system, and societal consequences of fall-related injuries. In order to reach relevant joint achievements and goals four different areas of collaborative work are being developed: (1) implementation of an integrated and person-centered service pathway for fall prevention and management; (2) data collection for evidence-based interventions on falls; (3) awareness, information, and education, to support the training of the workforce; (4) Governance: innovation, sustainability, and scaling-up, including models for exploitation, business analysis, and strategies for falls prevention technologies take up.The relevance of the topic addressed in the A2 Action Group is supported by the Joint Declaration of the European Stakeholders Alliance for Active Ageing through Falls PreventionThe collaborative work of Ageing@Coimbra in the A2 group resulted in joint activities and collaborative work in the Prevention of Falls Network for Dissemination (ProFouND), an EC funded initiative dedicated to the dissemination and implementation of best practices in falls prevention across Europe.Also, within the scope of the A2 action group, the Project \u201cGood practices to develop physical activity programs at work\u2014FitWork\u201d was developed within the framework of the ERASMUS\u2009+\u2009SPORT program aimed at developing good practices to implement physical activity programs at work attending to specific risks of workplaces . The project is coordinated by Instituto de Biomec\u00e1nica de Valencia and more information can be found at.Reflecting a growing awareness of the need for better care and sustainable and effective health services, the A3 Action Group aims to contribute to AHA with a life-course approach, implementing the shift from reactive disease management to anticipatory care of functional decline through community-based prevention, early diagnosis, and screening programs, and integrated care management systems. This patient-centered approach involving social and health-care systems is based on innovative solutions that support interactions in the areas of nutrition, frailty and functional decline, cognitive decline and physical activity. It also fosters the development of networks strengthening education and training of the health workforce, citizens empowerment through health and ICT literacy, and advancing knowledge on the determinants of frailty and chronic diseases to support early detection and sustainable interventions. The joint effort of A3 partners is the improvement and alignment of services delivered to the needs of older populations and enabling caregivers\u2019 education and empowerment.Frailty Management Optimization through EIPAHA Commitments and Utilization of Stakeholders\u2019 Input) was launched to monitor and control the symptoms of allergic rhinitis , 10 Fig.The objective of the C2 Action Group is to develop interoperable independent living solutions, including guidelines for business models. This should boost the deployment of open and personalized solutions for active and independent living that are supported by global standards and new evidence on the return of investment. The C2 Action Group provides essential input to the creation of a new market for cost-effective products and services that help older people live a more active and independent life. This reinforces ongoing research and innovation activities in Europe (and elsewhere), supported through public\u2013private partnerships.Within the scope of the C2 Action Group, in 2017, the AAL Forum, the biggest European event in the field of Technologies for AHA was organized in Coimbra, by the Pedro Nunes Institute, in partnership with the Portuguese Foundation for Science and Technology and some of the Ageing@Coimbra core partners. The theme of the Forum was \u201cBridging the gaps between technology solutions and aging well. What can YOU do?\u201d Interoperable solutions were discussed as crucial to assure the value of the digital solutions, for example contributing for the integration between social and health care.An inspirational fresh addition to this year\u2019s AAL Forum exhibition hall was the attendance of over 120 end-users above the age of 65, all eager to give their honest opinion on what they saw. Exhibitors had approximately 7\u2009min to present and sell their AAL solution to the guests, which turned out to be more of a challenge than the majority of exhibitors expected Figure . After vFor the first time in the AAL Forum, the jury responsible for awarding the Exhibition Prize was constituted only by end-users above the age of 65. This activity was supported by Ageing@Coimbra and the Administrative Authority of the Centre Region of Portugal.Another example of the collaborative work of Ageing@Coimbra members within the scope of C2 Action Group is well represented by the project GrowMeUp, funded under the H2020 call PHC-19-2014 \u201cAdvancing active and healthy aging with ICT: service robotics within assisted living environments\u201d; coordinated by the University of Coimbra and including the active partnership with Caritas Coimbra as an end-user organization (Grant Agreement 643647).The D4 Action Group has its main roots on the concept of Age-Friendly Environments, as envisaged by the World Health OrganizationCaritas Coimbra is also a founder member and Vice-President of the European Covenant on Demographic Change, an organization that aims to gather local, regional, and national authorities as well as other stakeholders in order to cooperate and implement evidence-based solutions to support AHA.The collaborative work of Ageing@Coimbra in D4 group includes the leadership of the University of Coimbra in the H2020 project Euro-Healthy with a key goal to deliver a Population Health Index and a Web Geographic Information System (Web-GIS) addressing health inequity across the EU (Grant Agreement 643398) .15The area of biomarkers for neurodegenerative diseases, particularly concerning Alzheimer\u2019s disease, profits from the solid basis of neuroscience research provided by CNC.IBILI. Fundamental research is transferred from bench to bedside by means of knowledge-based genetics, biochemical, imaging, and neuropsychology biomarkers of cognitive dysfunction.Genetics and biochemical biomarkers currently used to identify risk factors and biomarkers of Alzheimer\u2019s disease include APP, tau, amyloid beta 1-42, genotyping for PSEN1, PSEN2, APP, ApoE .The Faculty of Psychology of the University of Coimbra provides neuropsychology tests to screen for functional and memory competence of older adults including Adults and Older Adults Functional Assessment Inventory (IAIFA), World Health Organization Quality of Life-OLD module, Geriatric Depression Scale (GDS-15), cognitive performance .The early diagnosis pipeline is complemented with robust brain imaging tools to ensure high quality diagnosis of putative neurodegenerative conditions. The Applied Nuclear Sciences Institute (ICNAS) pipeline launches innovative cyclotron-based synthesis methods of radiotracers including PET/FDG, PET/PiB, PET/PK11195, and other radiotracers upgrading the diagnosis tools.This integrated approach, aligning technologies and professionals/resources for a better public service results in relevant assets for Ageing@Coimbra stakeholders, creating the most valuable and reliable integrated health service in Alzheimer\u2019s diseases in Portugal; with recognized impact in the Health Cluster Portugal, the Joint Program in Neurodegenerative Diseases, and the EIT Health Knowledge Innovation Community (KIC).The diagnostics pipeline for early detection of Alzheimer\u2019s disease contributes to better health-care management and also to liaise with patient associations for better social care and support to patients and care providers.The territory of the Center Region of Portugal offers peculiar conditions as a regional living laboratory. In the region, about 23% of residents are aged 65 or over living in diverse environments, urban versus rural, highly dense versus low-density territories. In inland areas, especially in the mountain area, low-density territories also create geographic barriers to mobility especially of frail people contributing to social isolation. On the other hand, social isolation is also a burden of older persons living alone in urban areas of the Centre Region of Portugal.These particular conditions create a local need to develop integrated care and personalized solutions to support older people living in socially challenging conditions.The majority of municipalities in the Region have been equipped with health mobile units to deliver primary care and social care support to frail older people living in rural isolated areas. The added value of these services is well recognized by users and professionals, showing increase demand in terms of individual requests by the citizens and attracted interest by other municipalities.Portugal launched in 2016 a new coordination structure of the National Network for Integrated Care Units. This network provided complementary health and social care support to populations, being socially isolated frail older people the main beneficiaries. The regional network includes 3 main units for palliative care, 9 units for convalescence care, and more than 62 integrated home care teams. Ageing@Coimbra links with integrated home care teams in close collaboration with the regional health authority, the national insurance office, and municipalities.The social support to isolated frail older people in the region is a key priority for local players, including municipalities. Several important actions support intergeneration activities to tackle social isolation, ICT literacy, polypharmacy, and adherence to therapy strategies, assisted living programs, innovative strategies to engage older citizens with meaningful activities, and an humanitarian approach in health care\u2014both in rural and urban areas.The regional health authority launched a program (\u201cp\u00e3o.come\u201d) to reduce the content of salt in the daily food of Portuguese citizens, in particular the amount of salt in bakery. Traditionally, Portuguese citizens use excess salt in food, specially in bakery. This fact has been associated with high-prevalence of cerebrovascular diseases . InteresA schematic representation of the innovation clusters of Ageing@Coimbra is depicted in Figure Research on the mechanisms of aging-related diseases is a solid and established research area at the University of Coimbra and at the Center for Neuroscience and Cell Biology of Coimbra. Research in this area delivers high-impact and highly cited publications, international collaborations, advanced training of Ph.D., and postdoctoral students as well as entrepreneurship training and new spin off companies. Highlighting the priority of aging research, in 2016, a new ERA Chair group was appointed by the Faculty of Medicine of the University of Coimbra to develop a research program, advanced teaching and translational research in cardiovascular aging .16In 2015, three founder members of Ageing@Coimbra, the University of Coimbra, University of Coimbra Hospital and Pedro Nunes Institute, were accepted, as Associated Partners, in the new KIC in Active Living and Healthy Ageing from EIT Health. Together with the pharmaceutical company BIAL, they formed a cluster of Innostars, a legal entity member of EIT Health.EIT Health is a powerful consortium of more than 140 members from academia and industry partners that develop collaborative market-driven projects to tackle societal challenges: (1) promote healthy living; (2) support active aging; (3) improve health care. Projects deliver better training of students, executives, and citizens (Campus); transform innovative ideas into products and services (Innovation Projects); and create and catapult business creation (Accelerator).The University of Coimbra Hospital offers a well-established multidisciplinary geriatric assessment service. The knowledge gathered by the clinical team supported the creation of a new clinical service entirely dedicated to AHA, including daily clinical care, a hospital residence, outpatient consultations and community health-care services. The key pillars of the new unit enclose clinical care of geriatric patients, training of new health-care professionals and research on aging and geriatrics.The clinical unit on AHA establishes strong links with other hospital specialty services for prevalent and multimorbid conditions, including Neurodegenerative and Psychiatric Diseases, Pneumology and Respiratory Diseases, Immunology, Cardiovascular Diseases, Diabetes, Cancer, Musculoskeletal Diseases, among others.Geriatric Medicine profits from the institutional collaboration of the University of Coimbra Hospital and the Rehabilitation Hospital Rovisco Pais and other local Hospital units in the region. Dedicated patient-centered rehabilitation services profiting from holistic approaches and multidisciplinary care are key success factors to prevent and treat geriatric frailty, particularly ortogeriatric frailty. Long-term care and palliative care multidisciplinary services in the region offer support to patients and families affected by long-term functional dependence and end-of life care for older patients and their families, including a hospital palliative care team offering support across clinical services at the University of Coimbra Hospital and two inpatient palliative care units, at the Portuguese Cancer Institute\u2014Coimbra and Cantanhede Hospital . Reinforcing this strategic area, the Calouste Gulbenkian Foundation supports a \u201cProfessorship in Palliative Care\u201d at the Faculty of Medicine of the University of Coimbra to strengthen research and education in Palliative Care in the Centre Region.The training of formal caregivers (working in institutions for older people), or informal caregivers (providing non-remunerated care for older people) is extremely important, especially when taking into account the growing older population that depends on care for chronic and degenerative diseases.The University of Coimbra, together with Ageing@Coimbra, knowing the demand for specialized caregivers\u2019 training and the need to reach an audience with time limitations and geographically dispersed, concluded that a distance learning modality (e-learning course) was among the most appropriate responses. The Distance Learning Course, \u201cActive and Healthy Ageing,\u201d which is a method of active learning providing training in the basic care areas of older people, was created by a team of lecturers of the Faculty of Medicine.Health literacy in aging is also a priority topic in postgraduate training. The Faculty of Medicine offers a masters degree in geriatrics and gerontology, where medical doctors can learn and upgrade their knowledge in age and age-related chronic diseases. Geriatrics in Coimbra is supported by advanced teaching, clinical health care and professional training. Advanced teaching at the Faculty of Medicine of the University of Coimbra includes the Ph.D. program in health sciences, the Ph.D. program in aging and chronic diseases, the masters in geriatrics and undergraduate training in geriatrics under the scope of the masters course in medicine. Postgraduate training of health-care professionals also includes the annual course on Ageing and Geriatrics .Nursing School of Coimbra promotes the implementation of the comprehensive geriatric assessment at a national level. The activities include cultural adaptation and validation of tools for use in the field of geriatrics and participation in the development of national and international web platforms to support National and European strategy to intervene on older adults\u2019 frailty and to involve stakeholders in this process. The measurable impact of work of Nursing School of Coimbra is also observable in prevention of cognitive decline in advanced age by promoting the implementation of cognitive stimulation-based practice in different health-care contexts and by enabling multidisciplinary teams to implement autonomously this practice in different regions of Portugal. In addition, Nursing School of Coimbra is also training health professionals at a national level by enabling them to achieve critical reasoning, questioning of the ongoing practices and seeking and evaluating information to support Evidence-Based Practice. Nursing School of Coimbra is also offering postgraduate programs in Geriatric Health and Ageing, Health, and Citizenship.Ageing@Coimbra profits from the engagement of several institutional partners that promote the social inclusion and participation of seniors in meaningful social activities and long-life learning. These institutions include Third Age Universities, Citizenship Associations, Science Centers, Museums, among others. Together, these institutions mobilize thousands of older citizens and their families in a number of activities involving the society: including heart and cardiovascular diseases awareness; Diabetes; Brain Awareness Week; International Day of the Older Person; European Scientists Night; among others.In 2017, the Regional Authority of Centre Region, in a partnership with Ageing@Coimbra, launched a call to award good practices supporting AHA and age-friendly territories in the 100 Municipalities of the Region. This initiative contributes to (1) identify innovative good practices; (2) publicly recognize individual and institutional stakeholders; (3) disseminate knowledge to support adoption and scaling-up in other territories. The call awarded, in 2017, three categories: (1) Life+ (\u201cVida+\u201d), to support healthy life styles; (2) Health+ (\u201cSa\u00fade+\u201d), supporting innovative health care for older people; and (3) knowledge+ (Conhecimento+), to support research and technology applied to AHA.We received 128 valid applications from diverse thematic and geographic origins, including 74 applications for the category \u201cLife,\u201d 38 for \u201cHealth,\u201d and 16 applications for \u201cKnowledge,\u201d from a total of 118 institutions. These institutions included 34 municipalities, 12 social care providers, and several citizenship associations and universities, from a total of 49 municipalities Figure .\u201cLife\u201d projects include programs for physical activity, with or without assessment of health parameters, multidimensional evaluation , intergenerational dialog, therapy by arts, creation, and development of informatics platforms. The winner \u201cNovas Primaveras,\u201d submitted by the Arts and Music Association of Pousos village, describes a program focused on therapy for older people through arts. This good practice was launched in 2004 and involves (currently) 12,711 direct and 84 indirect users from 30 Institutions, engaging users in music, dancing, theater, poetry, and other artistic expressions.\u201cHealth\u201d projects enclosed areas related with new mobile health units to support home care, implementation of new methodologies of health care , prevention of frailty in older people, screening and diagnosis of disease, physical and cognitive stimulation and rehabilitation, monitoring of chronic diseases using ICT\u2019s, support of patients in hospital and care residence settings , health literacy, and health promotion. The winner good practice described specialized care for dementia patients submitted by the network of care providers \u201cUni\u00e3o das Miseric\u00f3rdias Portuguesas\u2014Unidade de Cuidados Continuados Bento XVI (F\u00e1tima)\u201d. This dementia care residence is a pilot unit established in 2013, including environmental, professional, therapeutics competences, recognized as a reference model for the care of patients with cognitive impairment and dementia. It includes 20 beds for mid-term care and rehabilitation (up to 90\u2009days) and 30 beds for long-term care and maintenance (up to 180\u2009days).\u201cKnowledge\u201d projects include: research and application of programs and new models; application of ICT solutions; collaborative models using telehealth and teleassistance; intergenerational approaches; infrastructures; equipment and access to knowledge; multimorbidity research and care; AHA and longevity, databases and population profiling. The winner was a project submitted by the Faculty of Medicine of the University of Coimbra and the Center for Neuroscience and Cell Biology: \u201cNoMicro Technologies.\u201d This project describes the development of a technology to support healing of chronic wounds and prevention of infection by pathogens. NoMicro Technologies is currently in a phase of preclinical proof of concept.In conclusion, the number and quality of the applications received in the call exceeded the best expectations of the organizing committee, reflecting the growing involvement and awareness of stakeholders of the Centre Region to support AHA of citizens.Standing on the big societal challenges created by the impact of population aging in individual\u2019s health, but also for efficiency and sustainability of the health and social care systems, the movement created by EIP on AHA addresses the individual\u2019s and societal hurdles, under a positive perspective of stimulating the economic growth and job creation.The collaborative work developed by EIP on AHA partners, under the scope of the six active action groups or under the scope of the quadruple helix-based Reference Sites, has delivered an impressive number of ground-transforming good practices, innovation schemes, and change management process, with big societal impact and economic potential.EIP on AHA Reference Sites like Ageing@Coimbra have shown to be instrumental bodies for helping the European Commission in the implementation of policies, including the \u201cBlueprint for Digital Transformation on Health and Care in an Ageing Society\u201dThe impact of Reference Sites in the European landscape is also revealed by the collaborative work under the twinning collaborative scheme, involving delivery of good practices by innovator regions/actor and adoption by twin Reference Sites. The example of the twinning project lead by MACVIA and adopted/replicated by Ageing@Coimbra, and many other Reference Sites is a good example of a successful twinning project with impact in the society (see text footnote 20).The challenges imposed to societies by population aging and demographic changes are of paramount complexity. Innovative formulas to deliver practices and services and organization models, like those embedded in EIP on AHA Reference Sites and Ageing@Coimbra, might prove to be key elements of the change management schemes needed to deliver quality of life to citizens and sustainability of health and care systems, starting from pilot twinning schemes to large scale-up replication across Europe and Globally.In conclusion, the innovative and successful example of Ageing@Coimbra as a Reference Site of EIP on AHA supports the adoption of bottom-up, inclusive, and holistic approaches to create regional networks and partnerships with the aim of supporting the creation and replication of good practices for Active and Healthy Ageing. This methodology has proven to be successful in Coimbra/Centro de Portugal and other regions of Portugal, as well as in other European countries. Other examples of innovative regions embracing this model may follow and reinforce the change management objectives pursued by the EIP on AHA and the European Commission. However, important hurdles related with poor commitment of partners, oversimplification of processes in lean management structures are also difficulties that need to be constantly monitored and overcome.Ageing@Coimbra is a growing consortium, consolidating its unique position as an aging network in the Centre Region of Portugal, with strong collaborations with other Reference Sites and international networks. Ageing@Coimbra will support the replication of good practices emerging from its stakeholder members and will twin with other European partners to foster the adoption of innovative practices and technologies for the benefit of Centre Region and European citizens.JM: concept design, writing the text, editing figures, and manuscript correction. AA: concept design, manuscript correction. AR: concept design, writing the text, editing figures, and manuscript correction. AM-P: writing the text and manuscript correction. AFC: concept design; writing the text; and manuscript correction. AT: concept design; writing the text; and manuscript correction. AT-B: editing figures and manuscript correction. AD: concept design and manuscript correction. AFA: manuscript correction. ALC: concept design; writing the text; and manuscript correction. CD: concept design; writing the text; editing figures; and manuscript correction. BG: writing the text and manuscript correction. CA: concept design; writing the text; and manuscript correction. IS: manuscript correction. JB: editing figures and manuscript correction. JA: concept design; writing the text; and manuscript correction. LS: concept design; writing the text; and manuscript correction. LA: concept design and manuscript correction. MI: writing the text; manuscript correction. RV: manuscript correction. VR: concept design and manuscript correction. MV: concept design; writing the text; editing figures; and manuscript correction.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "The risk for cardiovascular disease (CVD) is higher for individuals with a first-degree relative who developed premature CVD . However, little is known about the effect that each unit increase or decrease of maternal or paternal age of onset of CVD has on offspring age of onset of CVD. We hypothesized that there is an association between maternal and paternal age of onset of CVD and offspring age of onset of CVD.We used the Framingham Heart Study database and performed conditional imputation for CVD-censored parental age (i.e. parents that didn\u2019t experience onset of CVD) and Cox proportional regression analysis, with offspring\u2019s age of onset of CVD as the dependent variable and parental age of onset of CVD as the primary predictor. Modifiable risk factors in offspring, such as cigarette smoking, body mass index (BMI), diabetes mellitus, systolic blood pressure (SBP), high-density lipoprotein (HDL) level, and low-density lipoprotein (LDL) level, were controlled for. Separate analyses were performed for the association between maternal age of onset of CVD and offspring age of onset of CVD and the association between paternal age of onset of CVD and offspring age of onset of CVD.Parental age of onset of CVD was predictive of offspring age of onset of CVD for maternal age of onset of CVD and for paternal age of onset of CVD . A negative estimate of the coefficient of interest signifies that late onset of cardiovascular events in parents is protective of onset of CVD in offspring. Cigarette smoking and HDL level were important associated confounders.Offspring age of onset of cardiovascular disease is significantly associated with both maternal and paternal age of onset CVD. The incorporation of the parameters, maternal or paternal age of onset of CVD, into risk estimate calculators may improve accuracy of identification of high-risk patients in clinical settings. Cardiovascular disease (CVD), defined as coronary death, myocardial infarction, coronary insufficiency, angina, ischemic stroke, hemorrhagic stroke, transient ischemic attack, peripheral artery disease, and heart failure, is the leading global cause of death, accounting for over 30 percent of all deaths worldwide\u2013 17.3 million deaths per year. In the United States, someone dies from cardiovascular diseases every 39 seconds , yet 72%Associations have long been established between CVD and a wide variety of risk factors, including non-modifiable variables such as age, sex, and family history, and modifiable atherosclerotic risk factors, such as cigarette smoking, alcohol intake, increased BMI, systolic blood pressure (SBP), diabetes mellitus, high-density lipoprotein (HDL) level, and hypercholesterolemia \u201310. HighDespite this evidence that recognizes that both parental history and genetic factors are modifiers of MI risk, neither element is routinely used in the clinical determination of CVD risk. Currently, few analyses delineate the association between parental history of CVD and manifestations of CVD other than MI . Furthermore, measuring parental history as a binary variable (\u201cyes\u201d or \u201cno\u201d) is an oversimplification that fails to recognize the effects of several variables within the parental history, including the relatives\u2019 age of onset of disease, patient\u2019s relation to relative, and quantity of relatives affected with cardiovascular disease, all of which have been shown to impact CVD risk \u201317.The Framingham Heart Study has published multivariate models for estimation of the 10-year absolute risk of developing CVD ,19, and While the effect of parental history of premature cardiac events and the effects of advanced age on CVD risk is well-studied ,27, no rn = 3261) and the FHSO Exam 1 . There was a total of 2622 linked parent-offspring pairs. The age of onset of CVD is the age at which either parent or offspring was diagnosed with CVD, including coronary death, myocardial infarction, coronary insufficiency, angina, ischemic stroke, hemorrhagic stroke, transient ischemic attack, peripheral artery disease, and heart failure, by a medically trained professional. This \u2018time-to-event\u2019 data was collected based on follow up data of both the original and offspring cohorts. Baseline values of the covariates of interest, collected at first clinical visit, were used in data analysis. Participants were included if they had not yet developed overt symptoms of cardiovascular disease or suffered a heart attack or stroke, and subjects were excluded if they had missing data.The study was approved by University of Texas Health Science Center in Houston Institutional Review Board and Biologic Specimen and Data Repository Information (BioLINCC). For this study we used The Framingham Heart Study (FHS) database. The data comes from a well-known, longitudinal prospective cohort study that is a premier database for study of cardiovascular diseases and other terminal disease. The FHS Original Cohort was launched at Exam 1 in 1948 and has continued with biennial examinations to the present. The FHS Original Cohort consists of 5,209 respondents aged 28\u201362 years residing in Framingham, Massachusetts, between 1948 and 1951. Nearly all subjects were Caucasians. The Offspring Cohort (FHSO) was launched at Exam 1 in 1971 and has on average been examined every 3 to 4 years since enrollment. The FHSO dataset consists of a sample of 3514 biological descendants of the Original Cohort, 1576 of their spouses and 34 adopted offspring for a total sample of 5124 subjects . This analysis used values collected during the FHS Original Cohort Exam 12 was used for statistical analysis. The proportional hazard regression calibration approach employed in this paper for analyzing the time to event outcome and censored predictor is similar to the proportional hazards regression model for survival data with measurement error ,30. ThisUnlike binary thresholding approaches that have shown increased risk of CVD if a first-degree blood relative has had coronary heart disease or a stroke before the age of 55 years or 65 years , we can compute a hazard ratio for each unit increase or decrease of parent age of onset. The conditional imputation approach employed in this paper combined the non-modifiable risk factors, age of onset of CVD in mother or father and parental history, by defining parental onset of CVD as the instantaneous risk of cardiovascular event, given that the event has not previously occurred. This leads to a relatively stable estimate and avoids bias estimates as the thresholding approach shown by Rigobon & Stocker and AustThe age of onset of CVD is defined as the age at which either parent or offspring was diagnosed with CVD by a medically trained professional. The dependent variable, age of onset of CVD in offspring, is potentially right-censored. That is, offspring that truly had CVD but were not diagnosed with CVD by a medical professional during this study are considered censored. Similarly, for the primary predictor variable, age of onset of CVD in parents, those that truly had CVD but were not diagnosed with CVD are considered censored. In order to consider`censored parents in the Cox model for age of onset of CVD in offspring, we employed the conditional mean imputation technique ,38.Our primary variable of interest is parental age of onset of CVD, which is potentially right-censored. We controlled for the following confounders: offspring smoking status, offspring diabetes status, offspring BMI, offspring SBP, offspring HDL, and offspring LDL Tables and 4. TSeparate analyses were performed for each parent, and the data was separated into two groups. There were 2622 linked parent-offspring pairs in total, with 1401 mother-offspring pairs and 1221 father-offspring pairs. The median age of onset of CVD was 68 years and 64 years for mothers and fathers, respectively . The oveThe baseline characteristics for the separate analysis with the primary predictors, maternal age of onset of CVD and paternal age of onset of CVD, are shown in The Cox proportional hazard (Cox PH) models were used to analyze the relationship between offspring age of onset of CVD and parental age of onset of CVD. We presented a separate analysis for the association between offspring age of onset of CVD and maternal age of onset of CVD and offspring age of onset of CVD and paternal age of onset of CVD Tables and 4. TWe fit a Cox model for the association of age of onset of CVD in parents and offspring. The Schoenfeld residuals against age of onset CVD in offspring with a smooth line (cubic spline) are fit to the points . These sMaternal age of onset of CVD is statistically significantly related to age of onset of CVD in offspring with a hazard ratio of 0.959, while paternal age of onset has a hazard ratio of 0.973. Our analysis describes hazard ratios based on unit increase or decrease of maternal and paternal age of onset of cardiovascular events. Although several papers have evaluated the link between CVD in parents and CVD risk in offspring, they have categorized parental history of CVD as a dichotomous variable using a thresholding approach ,39 or inThis is the first study to link parental age of onset to offspring age of onset of CVD using continuous variables in survival data. Currently, multivariate models for estimation of the 10-year absolute risk of developing CVD, including the Framingham calculator and the European SCORE calculator, can underestimate subclinical atherosclerosis ,24. NeitSeveral studies have suggested that a maternal transmission of CVD is more important for the development of CVD than paternal transmission \u201344. SomeThe Framingham data comes from a well-known prospective cohort study. Advantages of using the Framingham Heart Study data include access to near-complete data on the development of selected cardiovascular diseases due to their careful longitudinal follow-up of subjects. The Framingham Study was the first large scale cohort study of its kind that compare one generation to the next using a wide variety of data parameters. However, practitioner error may lead to a CVD sensitivity and specificity of less than 100%. That is, some subjects with CVD may be diagnosed an indefinite period of time after time of actual CVD onset or not at all, introducing information bias into the study. As technologies for detection of CVD have improved dramatically, CVD can be detected more definitively at an earlier time in the disease course and subsequent cohorts (offspring) may have experienced different sensitivity and specificity of diagnosis. Furthermore, nearly all subjects enlisted in the study in 1948 were White. The homogeneity of the cohorts may limit generalizability to a more diverse population, and future studies should include subjects from a variety of ethnic backgrounds to improve the ability to apply findings to the general population.Lastly, the statistical interpretation of this study can be confusing; both independent and dependent variables are potentially right-censored so they may not have clean interpretations. However, based on the sign of the coefficient (negative) it can be determined that the increasing parental age of onset of CVD is protective of early CVD in offspring.rd and 4th generation of this cohort study. More comprehensive understanding of cardiovascular risk factors will allow practitioners to more accurately identify patients at high risk for CVD who would not otherwise be identified by traditional risk calculators.Further research on the role of family history of CVD, including age of onset, number of family members affected, and differential effect of sex of family members affected, and its implications for CVD risk should be explored. The Framingham data is an excellent body of data for use in analyses of this nature, and future research should focus on risk factor studies in the 3"}
+{"text": "Scientific Reports5: Article number: 10198; 10.1038/srep10198 published online: 05142015; updated: 05312017.The Acknowledgements section in this Article is incomplete.\u201cWe would like to express our gratitude to all the participants of the study, management of both King Fahad Medical Research Center (KFMRC) and Arabian centers, and all the students who volunteered to help us in recruiting the subjects. We thank all the support staff of department of Pharmacology, King Abdulaziz University Hospital, Al-Salaam mall and Mall of Arabia. We are particularly grateful to both Iuliana Denetiu and Mohammed Ali Majrashi for their help in collection, input and validation of data. We express our appreciation towards Hussain Ahmad for his help towards database development. We acknowledge the Stratified Medicine Graduate Training Programme in Systems Medicine and Spectroscopic Profiling (STRATiGRAD) for funding of Torben Kimhofer. The authors declare that there are no conflicts of interest.\u201dshould read:\u201cThis project was funded by the Deanship of Scientific Research (DSR) at King Abdulaziz University, Jeddah, under grant no. 2-141-35-HiCi. The authors, therefore, acknowledge with thanks DSR for technical and financial support. We would like to express our gratitude to all the participants of the study, management of both King Fahad Medical Research Center (KFMRC) and Arabian centers, and all the students who volunteered to help us in recruiting the subjects. We thank all the support staff of department of Pharmacology, King Abdulaziz University Hospital, Al-Salaam mall and Mall of Arabia. We are particularly grateful to both Iuliana Denetiu and Mohammed Ali Majrashi for their help in collection, input and validation of data. We express our appreciation towards Hussain Ahmad for his help towards database development. We acknowledge the Stratified Medicine Graduate Training Programme in Systems Medicine and Spectroscopic Profiling (STRATiGRAD) for funding of Torben Kimhofer. The authors declare that there are no conflicts of interest.\u201d"}
+{"text": "Nowadays, most of the research in the field of gerontology is focused on the effects of the grape polyphenols. In particular, resveratrol has been shown to increase life expectancy of various living organisms, including mammals. Resveratrol also plays an important role in cancer prevention and decreases the risk of developing cardiovascular disease. In our research, we proposed the development of the therapeutic product from Cabernet Sauvignon grapes that would exhibit the beneficial properties of polyphenols. Standard operating procedures were developed in our laboratories to collect alcohol free concentrate of polyphenols from the Kazakhstan Cabernet Sauvignon collection of grapes. The purpose of the study was to investigate the composition, biological safety, and potential therapeutic effects of the polyphenol concentrate.The total polyphenol amount was determined using the Enology Analyzer Y15 . HPLC analysis of the polyphenol composition was performed using Agilent 1290 chromatograph. The polyphenol concentrate was analyzed for the microbiological purity and the presence of the toxic elements. The cytoprotective effect of the polyphenol concentrate was studied in experimental models of diabetes, toxic hepatitis, doxorubicin cardiomyopathy, and acute radiation sickness.The total polyphenol amount in one sample was 12,819 mg/l. Polyphenol composition analysis showed presence of the following polyphenols: catechin, epicatechin, gallic acid, quercetin, miricetin, 3-glucosylkaempferol, epicatechin gallate, 3--2-propenoic acid, catechin gallate, pitseid, kaempferol, n-hydroxy-cinnamic acid, resveratrol and chlorogenic acid. The concentrate was proven to be biologically safe and acceptable for use as a dietary supplement. The polyphenol concentrate demonstrated high antioxidant activity against ABTS and DPPH radicals in vitro. It also showed the following impacts on the various experimental models in vivo: reduction of sugar levels in diabetes; regeneration of the structure and function of the heart tissue in cardiomyopathy; regeneration of the nephron structure and function in nephropathy; regeneration of liver in toxic hepatitis; recovery of the antioxidant status in oxidative stress; and recovery of the hematopoiesis in acute radiation sickness.The polyphenol concentrate from Kazakhstan Cabernet Sauvignon collection of grapes was proved to be biologically safe and acceptable for use as a dietary supplement. The concentrate showed high antioxidant, antiradiation activity, and regenerative effect in diabetes, cardiomyopathy, nephropathy, and hepatitis in the corresponding organs."}
+{"text": "A number of major, minor, and trace elements function as important nutrients in foodstuffs of crop and animal origin. These elements occur in a broad range of concentrations in an exceedingly vast array of foods available commercially and home-prepared. In disciplines such as regulatory compliance, product development, quality and safety, and research, reasonably reliable analytical information is mandatory for conclusions and decisions of impact. Although analytical scientists recognize the need for valid data, solid analytical information is at times elusive not only in the area of determination of chemical elements at low (trace) levels \u20135 but alOf the many analytical techniques available for determination of inorganic nutrient constituents in biological matrices, those based on atomic spectrometry (AAS) are convenient and widely applied. The thrust of current research is to define impacts of a number of parameters on the performance of flame AAS (FAAS)-based methods of analysis of soil and biological materials to lead to reference methods for the measurement of major, minor and trace levels of elements of nutritional and toxicological pertinence. Some of these parameters as well as the excellent performance possible with well-applied versions of FAAS procedures are discussed.In spite of wide acceptance of the technique and the proliferation of published articles on its application, very few AAS-based methods have reached official method or reference method status , Require3/HClO4 with further separate treatment of insoluble siliceous residues with HF for measurement of total concentrations of Na, K, Mg, Ca, Mn, Fe, Cu and Zn. Flame atomic absorption measurements were performed under optimized standard operating conditions. Measurement techniques were based on either bracketting of sample with appropriate standard solutions or second order calibration curves incorporating appropriate standard and procedural reagent blanks. Two types of working standard solutions were prepared with one set (regular standard) containing the eight analytes at concentrations required for analysis. The second set (matrix-matched) contained the analytes at approximate concentrations occurring in the plant materials being analyzed and, in addition, contained three other major constituents, Al, S and P present in the samples to match the analytes and matrices of the analytical samples, The scheme of analysis is depicted in Experiments were conducted with four plant Standard Reference Materials as test materials, SRM 1570 Spinach, SRM 1571 Orchard Leaves, SRM 1573 Tomato Leaves, and SRM 1572 Citrus Leaves, from the National Bureau of Standards with the last product uncertified at the time of the study. Samples were dissolved with HNODevelopment and application of a high reliability version of an analytical procedure requires familiarity with all factors having a possible bearing on the precision and systematic errors of the overall procedure. The effect of calibration expressed as differences in elemental concentrations measured using regular and matrix-matched standard solutions is a function of element and sample type. Differences in concentrations ranged from 0.2% to 10.2% depending on element and matrix, indicating that for measurements of the highest reliability, systematic error arising from calibration can be reduced by using reasonable close matrix-matched standard solutions , EffectsThat meticulous attention to detail can lead to a high precision and high accuracy procedure is demonstrated by information in"}
+{"text": "Dear Editor-in-ChiefMyxoid tumors of the oral cavity encompass a broad spectrum of lesions, primarily neoplastic . SignifiThis classification is based on the predominance of the areas of myxoid degeneration in histopathology of the tumors of oral cavity. This classification includes adipose, neural, fibroblastic, chondroblastic, muscle, odontogenic and miscellaneous tumors. This classification wouldprovide a better insight into the histopathology of myxoid tumors of oral cavity and wouldbe useful for oral pathologists and cytopathologists."}
+{"text": "The implementation in China is warranted, since the leading Chinese research institutes as well as the most important local stakeholders, e.g. water suppliers, are involved.The Taihu (Tai lake) region is one of the most economically prospering areas of China. Due to its location within this district of high anthropogenic activities, Taihu represents a drastic example of water pollution with nutrients , organic contaminants and heavy metals. High nutrient levels combined with very shallow water create large eutrophication problems, threatening the drinking water supply of the surrounding cities. Within the international research project SIGN (SinoGerman Water Supply Network, Water is essential for all forms of life. However, in many parts of the world, water quality is threatened by multiple pollution sources. In the last few decades, China has undergone rapid industrial and economic growth. Especially in densely populated areas, the need for clean water is constantly increasing . At the 2 ).Responsible: IGB Leibniz-Institute of Freshwater Ecology and Inland Fisheries, TZW Water Technology Center.Chinese partners: Chinese Research Academy of Environmental Sciences (CRAES), Nanjing Institute of Geography & Limnology, Chinese Academy of Sciences (NIGLAS), Tongji University.Biodegradation of organic pollutants and nitrogen-containing compounds as beneficial ecosystem services is investigated by using modern PCR-techniques , 20 as wOnset and duration of cyanobacteria blooms are controlled by the nutrient content as well Responsible: bbe Moldaenke GmbH, FZJ Forschungszentrum J\u00fclich GmbH, inge GmbH.Chinese partners: Suzhou Water Group Co. Ltd., Tongji University, Hua Yan Water Group.Algae are measured within the lake itself in order to monitor their growth under different environmental conditions. Online analyses at the inlet of the drinking water treatment reveal changes in raw water quality. Further measurements at the different steps of drinking water treatment allow the assessment of the removal efficiencies for the algae themselves, their toxins as well as algae-released drinking-water-relevant taste & odour (T and O) compounds/precursors. New measuring tools are developed in order to assess the integrity status of algae cells and thus the risk of toxin release.Due to the impaired raw water quality, efficient solutions for drinking water treatment of algae contaminated water are needed. Ultrafiltration membranes are employed to efficiently remove algal cells and/or algal compounds. This reduces the formation of disinfection by-products and/or T and O compounds/precursors in subsequent oxidation steps within the drinking water treatment plant. The membrane itself is improved regarding material and geometry. Additionally, the operating modes are optimized with respect to energy-efficiency and maximum performance, supported by the data obtained from an algae-online analyser.Precursors of T and O compounds are identified by in-depth analysis of raw water and water from different treatment steps. Formation of T and O compounds is investigated by mechanistic laboratory studies in order to optimize advanced oxidation processes. Improved elimination of drinking-water-relevant substances by technological process optimization using the above-mentioned ultrafiltration and advanced oxidation techniques is evaluated for practical application within drinking water treatment plants in China.Responsible: F.A.S.T. GmbH, TZW Water Technology Center.Chinese partners: Suzhou Water Group Co. Ltd., Tongji University, Hua Yan Water Group.Drinking water leaving the waterworks in Suzhou has good and stable quality. However, water discoloration and problems with T and O compounds reoccur during transport through the drinking water pipes. In order to remove deposits and thus increase drinking water quality at the consumer\u2019s tap, an innovative optimized flushing strategy is adapted and tested in a model region of the distribution network in Suzhou. Based on the deposit accumulation velocity, the needed flushing intervals are defined in order to allow deposit-free maintenance of the distribution network in the future.Tools for the automatic acoustic detection of leakages within the drinking water pipes are adapted and tested for a model region of the distribution network in Suzhou. The measuring data of the noise loggers are collected via wireless transmission, accessible via internet and evaluated with a specialized software tool. The gained knowledge about the occurring water losses helps the water suppliers to reduce the water losses from their water distribution networks to a minimum being obligatory for technical, hygienic as well as economic reasons.Responsible: UFZ Helmholtz-Zentrum f\u00fcr Umweltforschung GmbH.Chinese partners: Chinese Research Academy of Environmental Sciences (CRAES), Tongji University.Achieving a sustainable urban environmental water cycle is not only a technical challenge. Feasibility, adequacy and performance of technical concepts are highly dependent on the socio-economic and institutional settings. Thus, recommendations for sustainable water policy and administration that consider the particular framework conditions in China are deduced. Further initiatives for effective participatory processes and awareness-raising campaigns are suggested.Responsible: TZW Water Technology Center.www.water-sign.de, with publications and with presentations at local and international conferences.All results obtained are actively shared with the scientific community as well as with the concerned Chinese stakeholders e.g. via the website German best practice examples of pollution elimination and improvement of water resource quality are analysed in view of appropriateness for the Taihu region. Based on the existing Chinese standards and guidelines as well as on the raw water situation of Taihu, the most important parameters for drinking water quality are selected in order to facilitate future monitoring and control."}
+{"text": "Non-mainstream scholarly journals are struggling to maintain a healthy flow of the best submissions, influence science growth locally and internationally, and become indexed in prestigious bibliographic databases. There are financial and non-financial factors confounding editing and publishing practices across low-resource countries. Publishers in these countries often face difficulties with involving experienced reviewers and editors in the processing of submissions to their journal. As a result, non-mainstream scholarly journals are at risk of publishing unchecked, poorly edited, erroneous, and unethical papers. They face challenges of inappropriate authorship, non-disclosure of conflicts of interests, plagiarism, and other forms of scientific misconduct. Journals\u2019 applications to global indexing abstract and citation databases are often declined due to the lack of transparent and ethical editorial strategies, inappropriate scope of interest, low level of evidence, and low citation rates. A hhandful of the indexed regional journals are aggressively targeted by unethical authors and brokering editing agencies, exploiting the deficiencies in the editorial strategies and thus further damaging the reputation of the journals. To curb the problems with editing and publishing, journal editors from non-mainstream science countries are encouraged to upgrade their strategies of ethical editing and research reporting in accordance with the updated recommendations of editorial associations, such as the International Committee of Medical Journal Editors (ICMJE), the Committee on Publication Ethics (COPE), and the Council of Science Editors (CSE). Academic institutions and professional societies from these countries are called to provide guidance for researchers and science editors and allocate resources for improving editing and publishing practices.Croatian Medical Journal and other MEDLINE-indexed journals. As the main problems with editing regional journals were highlighted, the decision was made to draft this Declaration. Journal editors from non-mainstream science countries are called to upgrade and enforce their instructions for authors in accordance with the listed points on integrity and visibility.How to address the problems with journal publishing in non-mainstream science countries was discussed at the First Mediterranean Seminar on Science Writing, Editing and Publishing, which was organized by the Academy of Medical Sciences of Bosnia and Herzegovina in Sarajevo, December 2-3, 2016. The idea of organizing such a meeting and drafting an instructive document for editors and publishers struggling with poor quality and visibility of their journals was proposed by numerous regional experts. They voiced their concerns and suggested to act jointly. The Seminar attracted more than 100 researchers, experienced journal editors, and publishers from Balkan and Mediterranean countries, who shared their experience with writing, reviewing, editing, and publishing. Updates to the recommendations of the most influential editorial associations, such as the ICMJE, COPE, and CSE, were presented to incorporate in the regional journal instructions. Participants had a unique opportunity to receive hands-on training on editing from the flagship regional journals, such as the The Sarajevo Declaration is aimed at upgrading standards of editing and publishing scholarly journals across Balkan and Mediterranean countries. Journal editors from regional and other non-mainstream science countries are encouraged to familiarize themselves with the statements and amend their instructions accordingly.The endorsement and enforcement of the Sarajevo Declaration may help avoid \u2018wasteful\u2019 or unethical publishing practices and improve visibility, scientific prestige, and indexability of the adherent scholarly publications.Transparency of in-house editorial procedures and external editing supportSupport of professional editorial teamsFocus on regional and local scientific research problems defined in the journal aims and scopePromotion of ethical research and reviewsScholarly publications are essential for research productivity, academic promotion, sharing professional information, and networking among scientists worldwide. Authors, reviewers, and editors are required to ensure the trustworthiness and ethical soundness of what they write, edit, and publish. To maintain the quality and ensure the impact of their publications, all stakeholders in science communication should make effort to ensure the integrity and promote innovative and evidence-based sources of information.1. Scholarly papers are final products of collective efforts of all stakeholders in science communication. It is increasingly important to promote these papers post-publication by indexing and archiving on relevant global digital platforms. Responsible editors and publishers alike are in the position to contribute to the post-publication communication. To improve visibility of their publications, authors can rely on reliable social media, sharing platforms, and individual and institutional repositories.2. Authors, reviewers, and editorial board members can increase visibility of their scholarly activities by registering with the Open Researcher and Contributor ID (ORCID) and providing information on their own authoring, reviewing, and publishing activities via their permanent accounts. Publishers of scholarly journals can maintain the integrity of pre- and post-publication communication by joining the ORCID global initiative.3. Erroneous publications are common, and take place because of the authors\u2019, editors\u2019, and publishers\u2019 oversights. Authors, reviewers, editors, and readers have the responsibility to notify publishers about any instances of known research misconduct and erroneous publications, necessitating corrections or retractions.4. Effective functioning of scholarly journals is dependent on skilled individuals involved in the processing of manuscripts. Publishers encountering problems with erroneous and poorly written publications should expand their editorial teams by inviting experienced editors responsible for statistics, publication ethics, language, and design.5. Continuing professional development (CPD) should be complemented by publications in scholarly journals that serve as platforms for distributing professional information of interest to both novice and seasoned authors. To achieve this goal, publishers may create journal sections for students, researchers, and specialists seeking CPD credits. Efforts should be made by publishers to acknowledge their contributors and obtain CPD credits for publishing and reviewing activities.6. Professional societies can take the lead and contribute to the promotion of scholarly journals by taking responsibility for healthy flow of journal submissions from their memberships, quality checks, and publishing established and start-up periodicals and awarding the contributors with academic credits.7. Science editors should adhere to the most recent recommendations of global editorial associations and incorporate relevant sections in their journal\u2019s instructions to improve the quality of pre- and post-publication communication.8. Websites and editorial management platforms of scholarly journals should contain transparent information on the editorial management, peer review, open access or subscription models, and acceptable editing practices. Commercial editing services, which are offered by publishers and other organizations, may help improve the quality of journal submissions. However, all these services require transparency and acknowledgment in accordance with the recommendations of global editorial associations.9. Traditional and alternative impact indicators are instrumental for assessing the scholarly journals in terms of distributing information, attracting readership, and facilitating science growth. Combined quantitative and qualitative approach to citations, downloads, and distributions of individual papers through social networking channels can reveal interest of readers toward certain topics and types of publication, but not necessarily the quality of scholarly journals. Editors and publishers can increase the impact of their journals by improving the functionality of their journal websites and online content, ensuring the completeness of meta-data in the published papers.10."}
+{"text": "They are released outside of the cells immediately after synthesis, and exert their actions by binding to a G-protein coupled rhodopsin-type receptor on the surface of target cells. There are eight types of the prostanoid receptors conserved in mammals from mouse to human. They are the PGD receptor (DP), four subtypes of the PGE receptor , the PGF receptor (FP), PGI receptor (IP), and TXA receptor (TP). Recently, mice deficient in each of these prostanoid receptors were generated and subjected to various experimental models of disease. These studies have revealed the roles of PG receptor signaling in various pathological conditions, and suggest that selective manipulation of the prostanoid receptors may be beneficial in treatment of the pathological conditions. Here we review these recent findings of roles of prostanoid receptor signaling and their therapeutic implications.Prostanoids, consisting of the prostaglandins (PGs) and the thromboxanes (TXs), are a group of lipid mediators formed in response to various stimuli. They include PGD"}
+{"text": "This study aimed to investigate the effectiveness of cognitive-behavioral therapy on relieving migraine headaches in migraine sufferers.In this quasi-experimental study with pre-test and post-test method, the samples were outpatients of public hospitals in Ilam City, southwestern Iran since May-Jul 2010. They were selected based on inclusion and exclusion criteria, and divided into experimental and control groups. The data were analyzed using SPSS ver. 16 and via multivariate covariance method.P<0.05). Cognitive-behavioral therapy affected on reducing the duration of symptoms of migraine in sufferers (Cognitive behavioral therapy effects on reducing the time duration of symptoms of migraine headaches. Thistherapeutic method increases the level of individual, familial, social and occupational activities by reducing the time duration of symptoms and this method helps the individuals to resume their activities and regain their previous control instead of founding themselves incapable and helpless due to the pain they suffer from. Prevalence of migraine is different in various cultures, but it affects approximately 12% of general population and it is more effective on women. In various populations, the prevalence of migraine is about 6% in men and 18%of women aged between 15-45 yr old. Lifetime prevalence of migraine, is 8%-13% in women and 25%-33% in men in IlamCity, southwestern Iran were examined since 2010. Out of 635 patients who were willing to cooperate, 30 migraine sufferers were selected regarding several factors: no pregnancy, lack of heart disease, minimum literacy and older than 15 yr old. These participants were divided into two experimental and control groups. The participants of experimental group received both drug and cognitive-behavioral therapy, and the participants of control group only received drug. The pre-test was conducted for both groups. The number of migraine attacks, duration of attacks, severity and the number of taking pain relief pills were controlled by phone within 4 wk. Eleven cognitive-behavioral therapy sessions were held for experimental group.The study was approved by Ethics Committee of the university and informed consent was taken the patients.The key issues trained in form of therapy sessions by the researcher included: Cognitive Restructuring (learning how to recognize the cognitive errors and replacing the positive and efficient thinking with negative and inefficient thinking), training the relaxation methods , doing tasks and activities progressively regarding the time duration based on the resting/activity periods (without doing excessive activities ), assigning the home works in order to reduce the activities and resuming an active and effective life style.Two participants of control group and one participant of experimental group discontinued the research processes. After the implementation of the independent variable, headache indicators were measured within 8 wk. The results were analyzed using SPSS software and multivariate analysis of covariance.Various descriptive indicators such as mean, standard deviation, and the Kolmogorov-Smirnov normality test results showed that the distribution of various scores tends to a normal distribution To examine the effectiveness of cognitive-behavioral therapy on reducing the number of attacks, severity and duration of migraine headaches and the degree of taking drugs in migraine sufferers, Wilkes Lambda test was used, but at first, the precondition for the equality of variances using Lyon test was investigated in P<0.05). According to Eta squared (0.401), the difference wasin moderate. Totally, Eta squared value (0.401) showed that there was an approximately strong relationship between cognitive-behavioral therapy and reducing the symptoms of migraine headaches and F value (3.013) and degree of freedom of 18 & 4, there weresignificant difference between the mean of post-test scores in 4 variables in both control and experimental groups (eadaches .P<0.05). In respect of duration of headache symptoms, Eta squared value (0.174) showed an approximate weak relationship between cognitive-behavioral therapy and the duration of migraine headache symptoms showed that there wasno significant difference between the mean of post-test scores of control and experimental groups. However, there wasa significant difference between the mean of post-test scores of duration of headache symptoms in control and experimental groups (symptoms . In respect of the results of this research, cognitive-behavioral therapy effects on reducing the duration of headache symptoms in migraine sufferers. The results of this study are in consistent with another study. AnotherTherefore, long duration of migraine attacks have detrimental effects on the quality of individual and family life and career of the migraine sufferers as well.It affects on the ability and competence of people to perform social tasks because migraine sufferers have to rest somewhere dark and quiet to relieve headache pain . MoreoveThere were some limitations in this study such as refusing the patients to get involved in different stages of screening and researcher\u2019s follow-up, age control, gender, and education level of patients and making limitations for generalizing the results and not increasing the number of samples due to the high cost of visiting neurologists. In Conclusion, all centers for counseling and psychotherapy, welfare, medical science, physicians, psychologists, consultants, psychotherapists, and neurologists should access to the results of the present study in order to provide better services, and reduce side effects in patients with migraine and tension headaches, and also prepare a therapist and patient handbook and deliver to the rated centers."}
+{"text": "It is with my deepest sorrow that I announce the untimely death of the passing of Dr Dimitri Tassiopoulos.Dr Dimitri Tassiopoulos was a Chief Research Manager with Social Aspects of HIV/AIDS Research Alliance (SAHARA) within the HIV/AIDS, STIs and TB (HAST) research programme of the HSRC. He held a BA (Hons.) degree in Political Science from the University of Stellenbosch, and obtained an MBA and PhD in Management and Administration from the University of Stellenbosch Business School in South Africa.Before joining the HSRC in May 2011, he was an Associate Director at the School of Tourism and Hospitality at the Walter Sisulu University (WSU) in East London, South Africa. He spent the majority of his academic career as a head of a School or as a Departmental Chairperson. After 1993, he was involved in various national and international tourism research projects, of a multidisciplinary and multi-institutional nature, concerning agritourism, event, cultural and wine tourism, amongst others. In 2004 he was appointed as a member of the South African Qualifications Authority\u2019s Standards Generating Body (SGB) for Travel, Tourism and Events, and was appointed as its chairperson. He was the vice president of the Tourism and Hospitality Education Providers of South Africa (THEPSA). This Federation represents further (FET) and higher education (HET) institutions offering the spectrum of qualifications related with the management of the tourism industry. He was also the chairperson of the Tourism and Events Educators Chamber of South Africa (TEECSA), an association representing higher education travel, tourism and events related programme providers.Dr Tassiopoulos successfully supervised post-graduate mini-theses/theses/dissertations and served as an external examiner for post-graduate theses at various universities in South Africa. Dr Tassiopoulos was a board member of a number international peer-reviewed research journals. The evidence of Dr Tassiopoulos\u2019s work is reflected in his publication record that spans the authoring and co-authoring of more than 16 presentations, at local, regional and international conferences, and, nine scientific publications in peer-reviewed journals. He was awarded six grants for research, published six books, published 33 chapters in books, has been involved in seven commissioned research projects. He has been rated a C3 researcher by the National Research Foundation. He served as a book reviewer for a number of publishers and as a proposal reviewer for the National Research Foundation.Tourism Today: published annually by the College of Tourism and Hotel Management, Nicosia, Cyprus (ISSN 1450-0906) (http://www.cothm.ac.cy/research.htm), and European Journal of Tourism Research: an academic refereed journal published bi-annually by International University College, Bulgaria (ISSN: 1994-76580) (http://ejtr.vumk.eu/). He was a regular reviewer of articles submitted to the prestigious Tourism Management Journal for publication.Dr Tassiopoulos was involved as an International Reviewer for the European Council on Hotel, Restaurant and Institutional Education (EuroCHRIE), Dubai 2008 Conference. He was involved as a session chair for the 2008 International Council for Small Business (ICSB) Conference, Halifax, NS, Canada; and, the 7th International Conference for Consumer Behaviour and Retailing Research (CIRCLE), Estoril Higher Institute for Tourism and Hotel Studies (ESHTE), Estoril, Portugal. He served on the following journal editorial boards as a board member of a number international peer-reviewed research journals. In particular, SAHARA-J: Journal of Social Aspects of HIV/AIDS (SAHARAJ). He successfully, while working closely together with Prof. Phaswana-Mafuya, managed to bring the journal under the Taylor & Francis Online stable with Routledge Press. SAHARAJ\u2019s impact factor has risen during his leadership. Dr Tassiopoulos also managed the SAHARA Conference.Among some of his achievements since joining HSRC Dr Tassiopoulos served as Managing Editor of Dr Tassiopoulos was involved in collaborating in cross-disciplinary research projects. He was involved in researching the effects of HIV and AIDS within higher education and the management of this syndrome that is afflicting the higher education population. More recently, he was involved in co-editing and publishing a book entitled non-communicable diseases in developing countries. Most recently, he led both international and South African research in the field of HIV and the World of Work Initiatives.Dr Dimitri Tassiopoulos made a significant contribution to South Africa\u2019s social science capital and his bright mind, dedication and passion will be missed. I take this opportunity again to convey my condolences to all of you who have known and worked with Dr Dimitri Tassiopoulos."}
+{"text": "Over the last two decades, important contributions were made at national, European and international levels to foster collaboration into rare diseases research. The European Union (EU) has put much effort into funding rare diseases research, encouraging national funding organizations to collaborate together in the E-Rare program, setting up European Reference Networks for rare diseases and complex conditions, and initiating the International Rare Diseases Research Consortium (IRDiRC) together with the National Institutes of Health in the USA. Co-ordination of the activities of funding agencies, academic researchers, companies, regulatory bodies, and patient advocacy organizations and partnerships with, for example, the European Research Infrastructures maximizes the collective impact of global investments in rare diseases research. This contributes to accelerating progress, for example, in faster diagnosis through enhanced discovery of causative genes, better understanding of natural history of rare diseases through creation of common registries and databases and boosting of innovative therapeutic approaches. Several examples of funded pre-clinical and clinical gene therapy projects show that integration of multinational and multidisciplinary expertize generates new knowledge and can result in multicentre gene therapy trials. International collaboration in rare diseases research is key to improve the life of people living with a rare disease. In Japan, the legal definition of a RD is one that affects fewer than 50\u2009000 patients in Japan, or ~1 in 2500 people.3 However, while individually these diseases may be considered rare, collectively they are not. It is estimated that 8% of people have one of the 6000\u20138000 RDs, and ~36 million Europeans are affected by one or will be. Eighty per cent of RDs are genetic in origin and often result from a dysfunction of a particular pathway (such as a defective gene or protein). Thus, understanding the impact of a single defect can yield insights into more complex pathways and, as result, RDs can serve as models for more common conditions, in particular in the context of precision medicine.A rare disease (RD) is defined as such by the fact that it affects a small percentage of the population. However, there is no internationally recognized definition of a RD. In the European Union (EU), a disease is defined as rare when it is life-threatening or chronically debilitating and when no more than 1 in 2000 people has it.4 setting out an overall Community strategy to support Member States in diagnosing, treating and caring for EU citizens with RDs. Three main areas were identified: improving recognition and visibility of RDs, supporting national plans for RDs in the EU Member States, and strengthening co-operation and co-ordination for RDs research at the European level. Indeed, RDs are a challenge too big for any one country or world region to tackle alone due to their low prevalence. Research on RDs is not only limited, but also scattered across laboratories and clinics throughout the world. This scarcity of expertize and practice translates into delayed diagnosis, few medicinal products and difficult access to care. That is why the field of RD research is a prime example of a research area that substantially benefits from co-ordination on a European and international scale, as co-operation can bring forth the development of new diagnostics and treatments. By increasing the number of patients available for each study and bringing together the scattered specialists with complementary expertize, the development of new diagnostics and treatments can be notably accelerated. This paper focuses on the efforts in the RDs field in Europe with some additional insights into international activities through the perspective of the International Rare Diseases Research Consortium (IRDiRC).In 2008, the European Commission (EC) adopted a communication5 The EU continues to offer funding opportunities for RD pre-clinical and clinical research and to strengthen international collaboration, in particular, in view of supporting the development of new therapies for RD and the diagnostic characterization of RD thus to develop better and faster means of high quality and clinical utility for the correct diagnosis of undiagnosed RD.The EU has been funding cross-border research on RD for more than two decades through its Framework Programmes for Research and Technological Development (FP) with complementary projects and actions. Since 1998, more than \u20ac1 billion has been invested in over 270 projects on RD , bringin6 European Reference Networks (ERNs) are virtual networks bringing together medical specialists across Europe to tackle rare or complex diseases and conditions that require highly specialized healthcare and a concentration of knowledge and resources. For the first time, a formal structure of voluntary collaboration between healthcare providers across the EU has been created for the direct benefit of the patient. The first 24 thematic networks include over 900 highly specialized healthcare units located in more than 300 hospitals of 25 EU countries plus Norway, and cover a wide range of disease groups including bone disorders, hematological diseases, pediatric cancers and immunodeficiencies; these ERNs will become operational over the course of 2017.7Set-up under the 2011 Directive on Patient Rights in Cross-Border Healthcare,Healthcare providers who are members of ERNs will be connected through a dedicated IT platform and, using a variety of telemedicine tools, offer access to expertize and knowledge of multidisciplinary teams, enabling patients suffering from such conditions to receive the best advice for treatment and diagnosis. A fundamental principle of the ERNs is the stipulation that knowledge should travel rather than patients (with the exception of few cases where patients may be referred for treatment in another country).Research will be a key element of the ERNs providing a structured framework for joining research efforts across countries, thereby creating a knowledge hub, facilitating translational research and the development of good practice guidelines for diagnosis and care, and supporting cross-border registries. By gathering and analyzing a large pool of patient cases, ERNs should contribute to observational studies and clinical trials, leading to new insights into RD and new drug therapies with potentially far-reaching benefits for patients.n=468), in FP7 (n=704) and\u2014until January 2017 (n=322)\u2014in Horizon 2020. The EC, together with European Member States, have been working on ways to support international collaboration in RD research. Statistics of Framework Programme 6 (FP6), Framework Programme 7 (FP7) and Horizon 2020 provide insight into how various aspects of the international collaboration were supported by EU-level public funding. First, the diversity of types of organizations supported by the EU throughout the Framework Programmes: Second, a landscape of the countries that were most frequently participating in FP7 and active in RD research emphasizes how important it is to promote international collaboration . ThroughIn Finally, funded projects foster a variety of medical domains and therapeutic areas. Within FP6, the 59 projects addressing RD covered essentially the following research themes: cardiovascular diseases, diabetes, diagnostics, diseases of the nervous system and cancer. Within FP7, 118 projects addressed neurodegenerative and neuromuscular disorders, pediatric and adult cancers, immunological disorders and immune deficiencies, respiratory disorders and metabolic disorders. In Horizon 2020, the therapeutic areas cover certain infectious diseases in addition to the ones covered in FP7.n=7), number of new patent applications (n=43) and number of publications (n=1989). Of interest, a vast majority of finished projects (76%) prepared peer-reviewed publications, with many publications in high quality journals such as Nature, Nature Genetics, Nature Immunology, Nature Medicine, Cell, New England Journal of Medicine, EMBO Molecular Medicine and Journal of the American Medical Association.The impact of EU funding and how international collaboration has been fruitful is highlighted by the preliminary outcomes of FP7 based on the first 66 projects completed: there are clear benefits in terms of number of spin-off companies included 15 countries and annual calls for proposals. During this time, the focus was on deepening the co-operation and co-ordination among the E-Rare partners by enabling the systematic exchange of information on national programs and by implementing strategic activities aimed at sustainable development and extension of the network of RD research funders.8 Through its easy-to-access transnational calls, E-Rare has provided a successful platform for entities interested in collaborative transnational research funding. The participation of national funding agencies in E-Rare Joint Transnational Calls (JTCs) is an effective tool to increase interoperability of funding practices and programs. Continuous co-operation of funding organizations, particularly for the implementation of JTCs, influences the alignment of processes, funding procedures and timelines of JTCs in addition to the gained common knowledge. The high number of proposals received in response to the JTCs of E-Rare highlights the great potential and diversity of the European RD research community and the need for funding of collaborative projects. Special consideration is given to avoid duplication with Horizon 2020 calls in the area of RD.Currently, E-Rare-3 is composed of 26 public bodies, ministries and research funding organizations from 18 countries: Member States , three Associated Countries and two Third Countries (Canada and Japan).In addition to the annual transnational calls, the collaborative approaches now extend to the relevant European Research Infrastructures with the aim to customize their services to the demand of RD researchers. The long-established collaboration with EURORDIS-Rare Diseases Europe has been further strengthened by the development of new funding models and the involvement of patient organizations in research. In 2012, E-Rare also became a member of the International Rare Diseases Research Consortium (IRDiRC) and strongly contributes to its ambitious objectives (see below).Since 2006, E-Rare has launched eight JTCs for projects, investing over \u20ac92 million in research on RD. Exceptionally, in 2015, the EC contributed to funding of research projects. The competitive nature of the JTCs has resulted in the funding of high quality projects. A large proportion of submitting researchers have outstanding track records with publications in high impact journals. 498 scientific teams compose 106 funded consortia. The multinational projects involve a range of three (mandatory) to ten research groups. Interestingly, the collaborations follow geographical, historical and linguistic proximity . In ordeThe transnational collaboration within projects is reflected at different levels. One of the most important aspects is the training and exchange of personnel. The analysis of 37 projects completed since 2007 showed that, in total, 83 MSc students and 108 PhD were trained. In addition, at least half of the projects reported an exchange of students, PhD and post-docs, in either short- or long-stays . A surveThe topics of E-Rare calls are broad and cover the whole range of medical domains. In all calls, the projects have to involve a group of RDs or a single RD following the European definition, that is, a disease affecting not more than five in 10\u2009000 persons in the European Community, EU-associated states and Canada. In all calls (except for the JTC 2016), interventional clinical trials were excluded due to budget limitations of national funding agencies. Furthermore, research concerning rare infectious diseases, rare cancers and rare adverse drug events in treatments of common diseases were also excluded in the past joint calls. When necessary, and based on the consultation of RD research community, the so-called \u2018focused\u2019 calls are implemented. As a result, in 2012, E-Rare launched a call dedicated specifically to young investigators. In 2014, the call focused on new therapeutic approaches and, in 2016, the goal was to finance clinical trials using repurposed molecules to treat RD.All medical domains are represented in projects submitted and financed . The bigOne of the most important goals of E-Rare funding schemes is to allow transnational collaborations that foster pooling of scarce resources, access to patients and knowledge. The ex-post analysis of 37 projects financed between 2007 and 2011 showed that all of them were able to achieve critical mass of resources necessary to complete their goals. In addition, 26 of the consortia demonstrated intensive exchange of samples as well as creation of databases (17 projects), biobanks (14 projects) or registries and Patient Organizations (POs) are part of this strategy.9 These infrastructures refer to major equipment, resources or e-infrastructures . This consolidation of knowledge and resources lying in different countries would enable the progression of high-caliber science and technology and facilitate knowledge sharing and innovation.The European Strategy Forum on Research Infrastructures was established and mandated by the EU Council in 2002 with the aim of supporting a strategic approach to the development of pan-European RIs to meet the long-term needs of the research communities across all scientific areas.10 Out of them, 11 are particularly relevant for biological and medical sciences and seven were chosen by E-Rare as most pertinent for RD research: (i) Biobanking and BioMolecular Resources Research Infrastructure (BBMRI), (ii) European Advanced Translational Research Infrastructure in Medicine, (iii) European Clinical Research Infrastructure Network (ECRIN), (iv) Distributed Infrastructure for Life-science Information (ELIXIR), (v) European Infrastructure of Open Screening Platforms for Chemical Biology (EU-OPENSCREEN), (vi) Integrated Structural Biology Infrastructure (INSTRUCT) and (vii) European Research Infrastructure for the Generation, Phenotyping, Archiving and Distribution of Mouse Disease Models (INFRAFRONTIER).At present, 14 European RIs dedicated to health & food domains are operational.The analysis of collaborative research projects submitted and financed by E-Rare revealed that 98% of them use services/infrastructures like biobanks, data repositories, imaging, high throughput sequencing or screening and animal model facilities. This was also confirmed by the outcomes of funded projects where creation or use of existing data and registries together with extensive exchange of samples and animal models were reported regularly. However, only a few projects indicated use of the European RIs, putting in question the origin of applied standards as well as sustainability of generated results. Based on these inputs and corresponding feedback from the E-Rare funding bodies, it was agreed that close collaboration with the European RIs should both mitigate the problem of discrepancies in practiced standards, and ensure the dissemination and sustainability of outcomes especially biobanks, registries, databases or models.http://erare.eu/infrastructures). Moreover, since 2015, E-Rare encourages the use of European RIs within its calls for transnational projects. In 2016, an explicit pilot action was implemented in collaboration with ECRIN where applicants using ECRIN services could benefit from so-called \u2018ECRIN on board\u2019: free-of-charge assistance in the preparation of their proposal to the E-Rare call. Among 30 projects submitted, 11 included collaboration with ECRIN, eight passed the pre-selection stage and four of them were eventually granted (out of eight recommended for funding) ensuring 36.4% success rate (in comparison with 22% success rate of projects not using ECRIN). In this specific case, the added value of using the European Research Infrastructure reflected, as expected, the quality and knowledge of the management of transnational clinical trials that is particularly complex. Thus, the alliance of dedicated institutions from different countries gathered into one infrastructure can directly target the issues and bring added value to the transnational consortium of researchers.In order to facilitate the access of RD research community to those initiatives, a comprehensive list and dedicated thematic pages were created on the E-Rare website expressed their interest in participating actively in E-Rare and a strong willingness to collaborate with researchers, including providing logistical and financial support. Since some of the E-Rare funding organizations already had experience co-funding research with POs, it was agreed that, with the support of EURORDIS-Rare Diseases Europe, a new model of collaboration between funders and POs would be established. The goal was to engage patients, in a transparent manner, at all levels of research funding: from definition of topics, through evaluation of projects, to budgetary investment . In addi15 It is co-financed by Member States and the EU. It comprises 40 countries in which Orphanet experts collect, annotate and classify (according to the Orphanet nomenclature) information on RD. This includes data on expert centers, patient organizations, diagnostic laboratories, research projects, clinical trials, registries, databases and infrastructures for research.Orphanet is the most comprehensive source of information, in terms of geographical and domain coverage, specific for RD worldwide.The classification of research projects is performed according to their main objectives, and those qualifiers can be grouped in the following categories: basic research, pre-clinical research and observational/epidemiological/natural history studies. In addition, information on the origin of the projects , related source of funding (funding bodies), as well as starting and end dates are collected.Data on 3052 research projects started or ongoing from 2010 on was collected. Importantly, 14% of them are international collaborations funded mainly funded by the EU and/or through the E-Rare mechanism. This confirms that, at present, EU and E-Rare schemes ensure major support of RD transnational research projects in Europe although 86% of RDs research funding remains national. Interestingly, the comparison of national and international projects revealed that the latter focus on pre-clinical research while national projects cover mostly basic research approaches (67%).Gene therapy development represents a substantial part (22\u201324%) of pre-clinical research studies, and this proportion does not differ between national and transnational studies. The three main medical domains in which these projects focus on are neurology, immunology and metabolic diseases. Transnational pre-clinical gene therapy projects are devoted to rare immune diseases (24%) followed by neurological diseases (20%) and inborn errors of metabolism (12%), whereas rare neurological diseases predominate in national gene therapy projects (36%) followed by metabolic diseases (16%) and immune diseases (7%).17) involving 42 participants from 14 countries. Its role was to foster interaction between all stakeholders\u2014regulators, pre-clinical and clinical investigators, scientists, companies and patient representatives\u2014in order to streamline integration of multidisciplinary expertize and generate new knowledge; to establish the quality, safety, efficacy and ethically acceptable standards for clinical gene transfer products; and to identify and accelerate the \u2018critical path\u2019 from pre-clinical to clinical phase. One particular feature of this network, organized into seven technology platforms, was the possibility to fund its own internal collaborative and exchange program that could target specific bottlenecks such as establishment of improved producer cells, development of validated production and purification protocols for viral and non-viral vectors, address the ethical, legal and regulatory component and facilitation of clinical trials for rare or common diseases . The main results of CliniGene were: integration of EU-wide research and facilities in the field of gene therapy; overcoming of most scientific bottlenecks identified and targeted by the seven technology platforms; publication of more than 745 papers; financial support to over 90 projects targeting novelty and international collaborations between 45 laboratories and companies; creation of new improved producer cells; development of highly efficient production and purification for most important viral and non-viral vectors; implementation of a reliable and validated vector biosafety platform addressing safety and efficiency in vitro and in vivo; contribution to the ethical, legal and regulatory components of these new therapies to the European Medicines Agency and facilitation of clinical trials performance; training as well as technology transfer to industry.The EU had supported during FP6 a \u20ac12 million European network of excellence for the advancement of clinical gene transfer and therapy (CliniGene18 (10 partners from five countries) aims to restore dystrophin production in a subset of Duchenne muscular dystrophy boys by administration of a drug, which \u2018skips\u2019 the mutations causing Duchenne muscular dystrophy. The presence of the US-based Sarepta Therapeutics in the consortium led to the expansion of the initial clinical trial and provided expertize in bringing an oligonucleotide to the market.19 The project is a follow-up to previous EU projects on neuromuscular dystrophies. In addition, the partners also co-ordinate the worldwide endeavors of several laboratories developing standardized methods of dystrophin quantification, which could be used as an outcome measure in clinical trials involving Duchenne muscular dystrophy patients.During the FP7, several clinical trials for RD were supported by the European funds. As example, the Skip-NMD project20 (12 partners from six EU countries) deals with multi-center lentiviral-based gene therapy trials for severe combined immunodeficiency diseases: adenosine deaminase severe combined immunodeficiency, Artemis and SCID-X1, and also derives from previous successful collaborative EU grants. Importantly, for adenosine deaminase severe combined immunodeficiency, the planned clinical trial should lead to marketing authorization of the gene therapy product as a licensed medicine.Amongst the ongoing Horizon 2020 projects, the SCIDNET consortiumhttp://www.erare.eu/all-funded-projects).. In the project CAV-4-MPS, intracranial administration of helper dependent canine adenovirus type 2 vector coding for the missing enzyme in mucopolysaccharidosis VII resulted in short and long-term expression of the therapeutic enzyme in an mucopolysaccharidosis VII mouse and an MPSVII dog model, resulting in global biochemical correction in the brain. In the project Theralymph, several therapeutic approaches for treatment of hereditary lymphedema are investigated: pharmacological and tissue engineering next to gene therapeutic approaches.The IRDiRC was created in 2011 to facilitate co-operation and collaboration on a global scale among the many stakeholders active in RD research, to maximize the output of RD research efforts around the world.21 As such, membership of IRDiRC was expanded to include those constituents.IRDiRC was originally conceived in 2009 by the Directorate General of Research and Innovation for the EC and the Director of the US National Institutes of Health (NIH), who envisioned speeding progress in RD research by coordinating their RD research funding. Over the course of the first preparatory workshop in Reykjav\u00edk, Iceland in 2010, it became clear that the success of the initiative would be dependent on the integration of the activities of not just funding agencies, but also academic researchers, companies, regulatory agencies and patient advocacy organizations.IRDiRC aims to facilitate the achievement of two overarching objectives by the year 2020: to contribute to the development of 200 new therapies and the means to diagnose most RDs. The crucial outcome of this work will be improved health through better diagnostic capabilities and novel therapies for people living with RDs throughout the world.Organizationally, IRDiRC is comprised of a Consortium Assembly, an Operating Committee, three Constituent Committees , three Scientific Committees , Task Forces and the Scientific Secretariat . Represe22IRDiRC focuses on strengthening international co-operation to bring about rapid progress in the field of RD research. Co-ordination of efforts that address common roadblocks is key to maximizing the collective impact of global investments in RD research and accelerating progress. To guide its work, IRDiRC developed a set of Policies and Guidelines, which are the principles that IRDiRC members agree to follow, focused on the following areas: data sharing and standards, ontologies, diagnostics, biomarkers, patient registries, biobanks, natural history, therapeutics, models, publication and intellectual property, and communications about the Consortium.23 The International Consortium of Human Phenotype Task Force developed standards for interoperability among databases which has enabled the linkage of a variety of RD phenotype and genotype databases. The Patient\u2014Centered Outcome Measures Task Force and Small Population Clinical Trials Task Force investigated aspects of RD clinical studies and produced recommendations to, respectively, (1) enable the development of clear outcome measures that benefit patients,24 and (2) advance discussions on optimizing efficient and innovative trial designs relevant to small populations.25 Similarly, the Data Mining and Repurposing Task Force made recommendations on strategies for optimizing the capture, sharing and integration of research and patient data to further research and development investments and realize the full potential of data mining and drug repurposing approaches (draft in review). Another joint IRDiRC-GA4GH effort was the Automatable Discovery and Access (ADA) Task Force that developed an ADA matrix which provides a standardized way to represent consent and other conditions of clinical data use, making the information computer-readable and available for automated search and sharing activities .26 The Privacy-Preserving Record Linkage Task Force, also a joint effort with GA4GH, is developing guidelines on the ethical, legal and technical requirements of participant identifiers in RD research. In addition, they are investigating a technical solution for a system to de-duplicate and link data sets for use by researchers without knowledge of participants\u2019 identity, and to enable the potential re-identification of participants for clinical purposes. Among the additional Task Forces due to commence shortly are those addressing approaches for investigating diagnostic cases unsolved via current technologies, addressing bottlenecks in data sharing including making policy recommendations around clinical data sharing, and developing best practices for patient engagement in RD research.The members of IRDiRC support research projects that contribute to the Consortium objectives and goals. A number of Task Forces have been created by the Scientific and Constituent Committees to identify limitations to efficiency and effectiveness in global RD research, suggest and/or create solutions including standards and tools, and publish recommendations. One of the earliest Task Forces initiated was a collaboration with the Global Alliance for Genomics and Health (GA4GH) and others to create Matchmaker Exchange, which enables RD gene discovery through a federated network of genotype and rare phenotype databases.27 To receive this designation, resources must undergo a peer-review process by IRDiRC Scientific Committee members and external experts in the field. To date, the label has been given to 13 resources: three guidelines, four platforms, two reference databases, two standards, and an advisory committee highlight to funders the most pressing areas that necessitate support and (2) emphasize the importance of issues like data sharing and harmonization to researchers. The involvement of patients as main actors and crucial stakeholders completes this picture.All these efforts led to the creation of a favorable ecosystem promoting the development of both new and more sustainable collaborations, connecting researchers from internationally dispersed laboratories. The outcomes of these collaborations are tangible: faster diagnosis of RD patients through enhanced discovery of causative genes and production of relevant clinical practice guidelines; better understanding of natural history of diseases through creation of common registries and databases; accelerated creation of animal and cellular models laying the basis for research on disease mechanisms and treatment options and boosting of innovative therapeutic approaches and clinical trials for new and more suitable treatment options.28 Thus, more efforts focused on shortening the translational pipeline and closing the gap between research and care are needed. In February 2017, at the 3rd IRDiRC Conference in Paris, France, stakeholders of RD research from around the globe gathered to discuss global progress to date, transformative new approaches to RD research, and challenging goals to be set for the next decade. What is clear after the 2-day conference: the international RD research community is eager to share knowledge and experience, work collaboratively across borders and address common roadblocks to maximize the impact of investments in order to bring diagnoses and therapies to RD patients. It is time to build new bridges and raise the bar for RD research worldwide.Notwithstanding, these encouraging results also illuminate new challenges that have yet to be overcome as too many RD patients continue to remain without adequate diagnosis and treatment. It is clear that many challenges still remain: (i) better understanding of RD mechanisms and faster translation of this knowledge into new diagnostics and treatments; (ii) development of novel approaches to clinical trial methodologies in small populations to facilitate the demonstration of the safety and efficacy of orphan drug candidates; (iii) improvement of health technology assessment methodologies that can be applied to the RD field and support best practices; (iv) investment in RD research databases and patient registries that are less fragmented and encourage data sharing and re-use via linking to other international platforms. In the EU Member States, ensuring and improving the equitable provision of health care on RD is also very challenging."}
+{"text": "Editorial on the Research TopicCancer Metabolism: Molecular Targeting and Implications for Therapysensu stricto, refers to rewiring of metabolic circuitry, which in turn involves alteration of multiple energy producing pathways , metastasizing cancer cells (peroxide-driven ATP production), tumor cells under stromal influence , and late-stage cancers (hypoxia).\u201d Finally, the review emphasizes on the prospects of therapeutic targeting of cancer metabolism and the necessity to consider a combinatorial approach to overcome any potential challenges.Eidelman et al.) present a detailed overview of the metabolic characteristics of prostate cancer. In addition to the distinguishing feature of citric acid metabolism between the benign and malignant prostate tumors, the review focuses on other energy-producing pathways as well. Noteworthy, the diagnostic potential and implications of versatile techniques involving metabolomics have also been discussed. In the words of Siddiqui and colleagues, \u201cthere is still a great deal of research to be done, as many of the mechanisms of cellular cancer metabolisms are not well understood,\u201d and the review provides a summary of current knowledge on the cancer metabolism of prostate cancer.Although metabolic alteration is common and frequent among cancers, variations do exist in the type of metabolic change between benign and malignant neoplasms. By using prostate cancer as a prototype, Siddiqui and colleagues have delineated the functional link between metabolic reprogramming and its epigenetic regulation in cancer. With a focus on the chromatin remodeling enzyme, Brg1, the review describes in detail the molecular intricacies involved in metabolic reprogramming, especially the lipid metabolism. The biochemical and functional significance of Brg1-dependent transcriptional regulation of key lipogenic enzymes in breast cancer has been discussed in detail with reference to reprogramming of cancer-related fatty acid metabolism. Notably, the review also emphasizes on one of the emerging areas of research, the \u201cmetaboloepigenetics.\u201dIt is well known that oncogenic events regulate cancer metabolism either directly or indirectly, through signaling mechanisms. In the review, Nickerson and colleagues exquisitely present the functional association between TME and cancer metabolism. Besides cancer cells, the review also discusses the mechanistic insights on the role of TME and its components on cancer-associated immune cells, adipocytes, endothelial cells, and fibroblasts. Dwarakanath and colleagues appropriately state that advances in the complete understanding of metabolic reprogramming and TME may provide an opportunity to develop effective anticancer therapies.Multiple lines of evidence demonstrate that the immediate vicinity of tumor, commonly referred as the tumor microenvironment (TME) impacts the metabolic phenotype of cancer. In an extensive review, Dwarakanath and colleagues (Ganapathy-Kanniappan) discusses the contributions of tumor glycolysis in escaping immune surveillance and the therapeutic opportunities of its deregulation. Recent data demonstrate that cellular and/or metabolic stress augments the sensitivity of cancer cells to natural killer (NK) cell-mediated cytotoxicity discuss the molecular and biochemical correlations of aldo-keto reductases in breast cancer and prostate cancer. More importantly, the review deliberates on the catalytic function-dependent and function-independent roles of one of the isoforms of aldo-keto reductase as well. The review focuses on the opportunities and therapeutic potential of targeting aldo-keto reductases with small molecule inhibitors and emphasizes on the need for further research.Among several metabolic enzymes, aldo-keto reductases have been known to play an indispensable role in intermediary metabolism, macromolecular biosynthesis, and the detoxification of free radicals. Recent research has shed light on the association between aldo-keto reductases and cancer growth and therapeutic resistance. In the comprehensive review, Yang and colleagues discusses the effect of disruption of arachidonic acid metabolism by COX inhibition in prostate cancer. By using the example of NSAID, aspirin, the authors discuss the mechanism underlying its anticancer effects in prostate cancer. Although aspirin-dependent antimetastatic effects have been reported, controversies exist in the mechanism that is implicated for such anticancer effects. With the availability of substantial epidemiological data, the authors underscore al beit with caution the need for further investigation of aspirin-dependent biochemical or metabolic alterations in prostate cancer to verify any beneficial outcomes of aspirin in prostate cancer.Arachidonic acid metabolism has only recently been implicated in prostate cancer, and the review by Abou-Kheir and colleagues , and the natural product compounds, i.e., AG36 and Curcumin . These articles advance our understanding of the antiproliferative effects of miR-150, AG36, and Curcumin in leukemia (miR-150) and breast cancer .The next three research articles are related to the anticancer effect of microRNA, i.e., miR-150 (Overall, the collections of reviews and research articles presented under the research topic will enable us to advance our knowledge on cancer metabolism and stimulate critical evaluation of therapeutic targeting of metabolism in cancer.The author confirms being the sole contributor of this work and approved it for publication.The author declares that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "The purpose of this study was to estimate the degree of seasonality and prevalence of winter- and summer-type seasonal affective disorder (SAD) in African immigrant college students in comparison with African American peers. A convenience sample of 246 African immigrants and 599 African Americans studying in Washington, D.C. completed the Seasonal Pattern Assessment Questionnaire (SPAQ), which was used to calculate a global seasonality score (GSS) and to estimate the prevalence of winter- and summer-type SAD. Degree of seasonality was related to a complex interaction between having general awareness of SAD, ethnicity, and gender. A greater percentage of African students reported experiencing a problem with seasonal changes relative to African American students, and had summer SAD, but the groups did not differ on GSS and winter SAD. African students reported more difficulties with seasonal changes than their African American peers, which could represent a manifestation of incomplete acclimatization to a higher latitude and temperate climate. As Africans also had a greater rate of summer SAD, this argues against acclimatization to heat."}
+{"text": "Recommendations on antenatal care for a positive pregnancy experience,As governments are developing schemes for universal health coverage (UHC) and progressing towards the sustainable development goals (SDGs), they need relevant and context-sensitive evidence to support different policies and interventions. Decision-makers are increasingly using qualitative evidence to understand various socioeconomic contexts, health systems and communities. This type of evidence is useful to assess the needs, values, perceptions and experiences of stakeholders, including policymakers, providers, communities and patients, and is thus crucial for complex health decision-making. For instance, during the development of the World Health Organization (WHO) Qualitative evidence syntheses, which combine and analyse evidence from individual qualitative studies, have emerged as a key approach to inform guideline development and address implementation considerations in diverse country settings and complex health systems.Beyond global guidance, qualitative evidence is invaluable for national and local decision-makers and practitioners to understand factors influencing the implementation and scale-up of health policies and programmes. For instance, policy-makers require evidence on factors that influence vaccination coverage, satisfaction and retention of health-care workers or quality of care in health facilities. Qualitative data have proven essential in planning, developing and implementing health policies and interventions, including in low- and middle-income countries, for example to prevent and treat malaria during pregnancy,Yet, despite the relevance of findings from qualitative evidence syntheses, there is limited guidance on how to assess and use this evidence in policy and practice. To address this need, the Alliance for Health Policy and Systems Research and the WHO Department of Reproductive Health and Research have supported the development of a new approach called GRADE-CERQual . The GRADE-CERQual approach is used to describe how much confidence decision-makers and other users can place in findings from qualitative evidence syntheses by transparently assessing methodological limitations, coherence, adequacy and relevance.New guidance on how to apply the GRADE-CERQual approach is now available as a special series of articles to support stakeholders conducting reviews of qualitative research and using their findings to inform decision-making.,The GRADE-CERQual approach was developed as a global public good to advance research methods and promote the uptake of qualitative findings in decision-making within and beyond the health sector. This guidance is also aligned with a global movement towards the generation and use of a wide array of evidence in policy-making."}
+{"text": "Brain injuries are too common. Most people are unaware of the incidence of and horrendous consequences of traumatic brain injury (TBI) and mild traumatic brain injury (MTBI). Research and the advent of sophisticated imaging have led to progression in the understanding of brain pathophysiology following TBI. Seminal evidence from animal and human experiments demonstrate links between TBI and the subsequent onset of premature, psychiatric syndromes and neurodegenerative diseases, including Alzheimer's disease (AD) and Parkinson's disease (PD). Objectives of this summary are, therefore, to instill appreciation regarding the importance of brain injury prevention, diagnosis, and treatment, and to increase awareness regarding the long-term delayed consequences following TBI."}
+{"text": "The objective of the Balearic Islands Palliative Care (PC) Program is to improve the quality of PC through a shared model consisting of primary health care professionals, home-based PC teams, and PC units in hospitals. According to the World Health Organization (WHO), patients with advanced cancer and other terminal diseases benefit from early identification and proactive PC. We will evaluate the effectiveness of an intervention in which a PC leader is established in the primary health care center, and assess the effect of this intervention on the early identification of patients in need of PC, the efficient use of health care services, and direct health care costs.Design: A two-arm cluster randomized clinical trial of 30 Primary Health Care Centers (PHCC) in Mallorca (Spain), in which each center was randomized to an intervention arm or a usual care arm. We expect that the number of patients identified as suitable for PC is at least 5% greater in the intervention arm.Sample size: A total of 4640 deceased patients. Outcomes will be assessed by a blinded external review of the electronic records.Interventions: General practitioners (GPs) and nurse leaders in PC for each PHCC will be appointed. These leaders will help promote PC training of colleagues, improve symptom management and psychological support of patients, and evaluate the complexity of individual cases so that these cases receive assistance from PC home-based teams.Measurements: Early identification (>90\u00a0days before death), evaluation of case complexity, level of case complexity , use and cost of hospital and primary care services, and quality of life during the last month of life .PC leaders in primary care teams will improve the early identification of patients eligible for PC. This initiative could improve the quality of end-of-life care and utilization of hospital resources.ISRCTN92479122. Retrospectively registered on 28 February 2017.ISRCTN Registry identifier: The populations of European countries are getting older, and this is leading to major increases in the number of patients needing palliative care (PC) because of chronic incurable diseases or advanced stages of terminal diseases . The 201PC was initially proposed for cancer patients , but wasearly identification and impeccable assessment and treatment of pain and other problems, physical, psychosocial and spiritual\u201d , an, an22],"}
+{"text": "To alleviate and repair this damage, plants have developed a complex antioxidant system to maintain homeostasis through non-enzymatic and enzymatic antioxidants . To this end, the exogenous application of Si has been found to induce stress tolerance by regulating the generation of ROS, reducing electrolytic leakage, and malondialdehyde (MDA) contents, and immobilizing and reducing the uptake of toxic ions like Na, under stressful conditions. However, the interaction of Si and plant antioxidant enzyme system remains poorly understood, and further in-depth analyses at the transcriptomic level are needed to understand the mechanisms responsible for the Si-mediated regulation of stress responses.Silicon (Si) is the second most abundant element in soil, where its availability to plants can exhilarate to 10% of total dry weight of the plant. Si accumulation/transport occurs in the upward direction, and has been identified in several crop plants. Si application has been known to ameliorate plant growth and development during normal and stressful conditions over past two-decades. During abiotic stress, one of the immediate responses by plant is the generation of reactive oxygen species (ROS), such as singlet oxygen ( Following this several Si transport genes have been characterized in other corps such as barley and maize has a strong affinity with oxygen; therefore, it usually exists as silica , superoxide (2O2), or hydroxyl radicals (OH) in cells , such as singlet oxygen , and lipophilic metabolites or indirectly through the regeneration of the two major redox molecules (ascorbate and glutathione) in the cells Figure . AccumulAnethum graveolens plants. Same pattern of SOD, GPX, APX, GR, and CAT activities was observed by Al-aghabary et al. , and found that the activities of SOD, APX and GPX were increased and contrarily that of CAT was decreased stress may also disturb the balance between ROS and antioxidants activity. Soundararajan et al. treated ed Table . Liu et ed Table observeded Table . Almost Normally, natural wounding stress is caused by herbivory or lodging and these events could increase hydrogen peroxide level inside plant tissues and decreasing MDA activity.During abiotic stress conditions, the Si application shows varying response to ROS scavenging by activating the defense system plants. In doing so, the activity of antioxidant arsenals may also oscillate depending upon the intensity of stress and plant type. Si supplemented plants showed resistance to abiotic stress through, lowering ROS production by (i) enhancing CAT and APX activities as both are involved in conversion of HYK wrote the manuscript; MW and AK contributed in drafting and revising manuscript; IL draw the figure and revised the manuscript.This work was supported by Korea Institute of Planning and Evaluation for Technology in Food, Agriculture, Forestry and Fisheries (IPET) through Agriculture, Food and Rural Affairs Research Center Support Program, funded by Ministry of Agriculture, Food and Rural Affairs (MAFRA) (716001-7)The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "The discovery of prostate-specific antigen (PSA) as a biomarker represented a major discovery in the early diagnosis and monitoring of prostate cancer. However, the use of PSA is limited by the lack of specificity and an inability to differentiate indolent from life-threatening disease reliably at the time of diagnosis. A multitude of studies have aimed to improve the performance of PSA as well as identify additional biomarkers. The purpose of this study is to review available data on prostate cancer biomarkers for prostate cancer screening and prognostication, including prostatic acid phosphatase, PSA, PSA derivatives , PCA3, GSTP1, AMACR, and other newly emerging molecular and genetic markers."}
+{"text": "The lack of proper water and sanitation infrastructures and poor hygiene practices in health-care facilities reduces facilities\u2019 preparedness and response to disease outbreaks and decreases the communities\u2019 trust in the health services provided.To improve water and sanitation infrastructures and hygiene practices, the Liberian health ministry held multistakeholder meetings to develop a national water, sanitation and hygiene and environmental health package. A national train-the-trainer course was held for county environmental health technicians, which included infection prevention and control focal persons; the focal persons acted as change agents.In Liberia, only 45% of 701 surveyed health-care facilities had an improved water source in 2015, and only 27% of these health-care facilities had proper disposal for infectious waste.Local ownership, through engagement of local health workers, was introduced to ensure development and refinement of the package. In-county collaborations between health-care facilities, along with multisectoral collaboration, informed national level direction, which led to increased focus on water and sanitation infrastructures and uptake of hygiene practices to improve the overall quality of service delivery.National level leadership was important to identify a vision and create an enabling environment for changing the perception of water, sanitation and hygiene in health-care provision. The involvement of health workers was central to address basic infrastructure and hygiene practices in health-care facilities and they also worked as stimulators for sustainable change. Further, developing a long-term implementation plan for national level initiatives is important to ensure sustainability. Water, sanitation and hygiene in health-care facilities are preconditions for providing health care of good quality. Despite this knowledge, a 2015 report revealed that 38% of the 66\u2009101 health-care facilities assessed in low- and middle-income countries had no source of water.In Liberia, a low-income country in western Africa, only 45% of 701 surveyed health-care facilities had an improved water source in 2015, and only 27% of health-care facilities had proper disposal for infectious waste . The 2013\u20132016 Ebola virus disease outbreak in the country emphasized the importance of cleanliness, sanitation and regular hand washing. During the outbreak, the majority of patients were fearful of seeking care within health-care facilities due to risk of contracting the virus. The poor compliance with infection prevention and control measures and poor water and sanitation infrastructures and hygiene practices within the facilities further contributed to the fear. Between August and December 2014, outpatient visits were 61% lower and antenatal care visits 40% lower than the same timeframe in 2013.Here we describe the efforts made to improve the quality of health services in Liberia, focusing on the development and implementation of a package to improve water and sanitation infrastructures and hygiene practices during and after the epidemic.A survey of 701 of the 727 health-care facilities in Liberia showed that the majority of them are public (62%), followed by private for-profit (31%) and private not-for-profit facilities (7%). Most of the facilities are clinics (88%), while health centres account for 7% and hospitals 5% .During the epidemic, the Liberian health ministry introduced an infection prevention and control focal person into each of the 15 county\u2019s health management team. In some resource-constrained counties, the focal person also serves as the environmental health officer working on water, sanitation and hygiene. The focal person oversees the delivery of routine infection prevention and control measures and water, sanitation and hygiene health-care interventions at health-care facilities, in collaboration with the facility-based infection prevention and control focal person. The focal person is also responsible for county outbreak preparedness and response efforts related to water, sanitation and hygiene and infection prevention and control.To inform the development of a package of interventions to improve and monitor water, sanitation and hygiene, the health ministry, with support from the World Health Organization (WHO), first conducted a situational assessment in 63 health-care facilities. The assessment revealed challenges in water treatment, testing of water quality and health-care waste management, including segregation, handling, treatment and final disposal of waste, a lack of ash and placenta pits and lack of protective fencing in waste management areas. In addition, environmental management was shown to be poor.In 2015, the health ministry, with support from WHO and the United Nations Children\u2019s Fund launched the package, using a systematic and multisectoral approach, involving health and water, sanitation and hygiene sectors. The overall aim of the implementation was to have complete country coverage on components for water, sanitation and hygiene as well as measures of infection prevention and control. The implementation involved county health teams, since these teams are critical as a first line of defence against potential future outbreaks and overall health systems strengthening.A national train-the-trainer course was held for focal persons, medical directors, community health department directors, community health social administrators, coordinators for water, sanitation and hygiene, coordinators for infection prevention and control, and environmental health technicians. The objective of the course was to teach the trainer to train health workers in their county and to support the roll-out of the package. The course involved four sessions each lasting four or five days, and a total of 94 people were trained between November 2015 and February 2016. The training curriculum was both theoretical and practical, including techniques, such as hand washing. The trainees visited a facility to conduct an assessment and used the results to identify areas for improvement and suggested actions. The course was conducted in close collaboration with infection prevention and control efforts, which provided focal persons with sufficient technical knowledge to improve and monitor water and sanitation infrastructures and hygiene practices, including safe management and treatment of health-care waste. Participants received a certificate upon completion of the course. To ensure trainers\u2019 involvement in future district and health-care facility level training, a database of certified county trainers was created and made available to all water, sanitation and hygiene partners. To catalyse institutional change, the health ministry launched in-county collaborations between health-care facilities, so-called twinning exchange, which included workshops and facility visits.The development of the package was informed by a global risk-based management toolFurther, the national minimum standards for infection prevention and control include water, sanitation and hygiene components. To ensure compliance with the minimum standards, the health ministry, along with WHO and relevant partners, conduct monthly facility assessments using the Liberia Health System Minimum Standards Tool.Key changes introduced in the health system included placing a strong emphasis on training of health workers at the facility level to deliver health services of good quality and to be prepared for future outbreaks. Local ownership, through engagement of local health workers, ensured development and refinement of the package. To improve effectiveness, accountability and efficiency of health programmes, multisectoral collaboration between environmental health; water, sanitation and hygiene; and health colleagues was put in place when developing the package. This exchange informed national level direction, which led to increased uptake of water sanitation and hygiene and infection prevention and control practices. Finally, the monthly facility assessments, which focused attention on functional infrastructures for water, sanitation and hygiene, were an important support for change. Also, the focus on accountability led to facility-based quality improvement processes to facilitate further improvements.The changes have led to high engagement on improving water and sanitation infrastructures and hygiene practices from all health workers involved, including the package\u2019s inclusion in programmes for infection prevention and control training. The engagement has also contributed to broader efforts to improve drinking-water quality and its management through development of national guidelines and a national quality strategy. Similarly, to address identified problems on infection prevention and control and water, sanitation and hygiene standards, the health ministry, in collaboration with partners, launched training for health workers known as Keep Safe \u2013 Keep ServingIt is important to highlight that during this time of the outbreak, very little was being measured due to increased attention on containing and stopping the outbreak in Liberia.After the epidemic, the government wanted to ensure that improvements made during the outbreak were sustained; the government has identified health-service delivery of high quality as a key investment area,Challenges encountered during the implementation of the package included poor water and sanitation infrastructures and poor infection prevention and control measures, specifically hand hygiene practices, at health-care facilities. The lack of a long-term roll-out plan, despite national training-of-trainers undertaken, has resulted in incomplete national implementation of the package. Nonetheless, package components are being implemented in a wider effort to improve the quality of health services. The findings from further implementation of the package, combined with service delivery tools\u2019 implementation, will inform future national direction for quality planning, control and improvement of health services.The main lessons learnt are summarized in Box\u00a01National leadership was important to identify a vision and to create an enabling environment for changing the perception of water, sanitation and hygiene in health-care provision.The involvement of health workers was central to address basic infrastructure and hygiene practices in health-care facilities.Improvements in water and sanitation infrastructures, hygiene and infection prevention and control practices helped re-establish trust between health-care providers and communities and increased the use of health-care services.This paper provides some insights on how water, sanitation and hygiene can be embedded into health service provision. The efforts made during the epidemic to improve water, sanitation and hygiene were used as a catalyst by the government for improvement of the quality of health service provision. The progress includes improving infection prevention and control practices; increasing staff performance; improving outbreak preparedness; and enhancing community engagement. The strategies presented here could be adopted and adapted for low-resourced health settings facing similar challenges."}
+{"text": "The epidermis of amniotes forms a protective barrier against the environment and the differentiation program of keratinocytes, the main cell type in the epidermis, has undergone specific alterations in the course of adaptation of amniotes to a broad variety of environments and lifestyles. The epidermal differentiation complex (EDC) is a cluster of genes expressed at late stages of keratinocyte differentiation in both sauropsids and mammals. In the present study, we identified and analyzed the crocodilian equivalent of the EDC. The gene complement of the EDC of both the American alligator and the saltwater crocodile were determined by comparative genomics, de novo gene prediction and identification of EDC transcripts in published transcriptome data. We found that crocodilians have an organization of the EDC similar to that of their closest living relatives, the birds, with which they form the clade Archosauria. Notable differences include the specific expansion of a subfamily of EDC genes in crocodilians and the loss of distinct ancestral EDC genes in birds. Identification and comparative analysis of crocodilian orthologs of avian feather proteins suggest that the latter evolved by cooption and sequence modification of ancestral EDC genes, and that the amplification of an internal highly cysteine-enriched amino acid sequence motif gave rise to the feather component epidermal differentiation cysteine-rich protein in the avian lineage. Thus, sequence diversification of EDC genes contributed to the evolutionary divergence of the crocodilian and avian integuments. The phylogenetically closest extant relatives of crocodilians are the birds. These two groups constitute the clade Archosauria and their last common ancestor lived 219\u2013255 Ma in mammals is shared, with clade-specific modifications, among all amniotes investigated so far. The organization of the EDC has been previously defined for birds, lizards, snakes, and turtles , 2017. ELOR) in lizard scales (SCFN) in avian claws and feathers (EDCRP) in feathers (EDMTFH) in feathers and the saltwater crocodile (Crocodylus porosus). Accession numbers of genome sequence scaffolds corresponding to the EDC can be found in Gallus gallus) and turtle (Chrysemys picta bellii), already identified in previous studies (S100A12 and S100A11) bordering the EDC in the investigated species. Genes coding for functional proteins were included in comparative studies whereas pseudogenes belonging to EDC gene families with functional members in the same species were not investigated further. In case of EDC regions with seemingly low gene density, the nucleotide sequence of the region in question was translated in silico and additional open reading frames of candidate EDC genes were identified by our already published protocol information about exon coverage by RNA-seq reads was consulted to check for transcribed regions in the EDC of A. mississippiensis. Nucleotide sequences of transcribed regions were translated in all reading frames and the possible translation products were compared with known EDC proteins of other amniotes. To test for expression of predicted crocodilian EDC genes, we performed tBLASTn searches in the transcriptome of A. mississippiensis was kept at the Vienna Zoo, Vienna, Austria as part of an international breeding program. Skin tissue was sampled through a biopsy at the flank of a 3-year-old female Morelet\u2019s crocodile in agreement with the national laws regulating animal welfare and the guidelines of Good Veterinary Practice. For histological investigation, the sample was fixed with 7.5% formaldehyde, embedded in paraffin, thin-sectioned and stained with hematoxylin and eosin according to a published protocol and the saltwater crocodile (Crocodylus porosus), sequences of EDC-encoded proteins of chicken and turtle (Chrysemys picta bellii) were used as queries in tBLASTn searches of the crocodilian genomes , we found that some EDC genes were correctly annotated, whereas others were missed by the automatic algorithms and some gene annotations included splice sites and reading frames that were not plausible A. AppareCRNN and SCFN) are present close to one end of the EDC, and SEDC genes form the main part of the EDC in crocodilians. Comparative analysis suggests that a cluster of crocodilian CBP (beta-keratin) genes is syntenic with CBPs in the EDC of other sauropsids and also with that of the EDC in turtles . Only 2 uropsids . Two EDCodilians , suggest mammals , 2017 , EDPE, and EDQA , serine (S), proline (P), lysine (K), cysteine (C), and glutamine (Q) . In manyMany EDC proteins of crocodilians exhibit sequence repeats rich in the above-mentioned amino acids online. C. moreletii) (C. porosus) and 21 (A. mississippiensis) having an intact and complete open reading frame , which have a unique organization with an amino-terminal domain rich in cysteine and histidine residues and a carboxy-terminal domain rich in cysteine and proline residues A, were preletii) online. ng frame online wng frame B, it appEDPQ genes were found in the EDCs of the saltwater crocodile and the American alligator, respectively. In a previous study, two EDPQ genes were also identified in the turtle C. picta , EDMTFH EDAA clusters of turtles and crocodilians indicategeticus) , and disgeticus) which wageticus) . As the geticus) , furthervice versa. However, there are also important differences which have likely contributed to the divergent evolution of skin phenotypes in crocodilians and birds. In fact, the epidermal stratum corneum of crocodilians evolved into a particularly mechano-resistant and water-proof component of the skin, and the beak and particularly the feathers of birds represent unique evolutionary innovations that depended on modifications of the epidermal differentiation process.Comparison of alligator and crocodile versus chicken shows that there is a high degree of conservation of EDC genes in archosaurs. Only few SEDC genes of crocodilians lack an ortholog in birds and Our data suggest that the EDC underwent only few changes in gene composition and arrangement in the crocodilian lineage after its split from the avian lineage. These changes were inferred from our comparison of the EDCs of crocodilians with the EDC of birds and turtles. Both the saltwater crocodile and the American alligator have at least 4 times as many EDCH genes as birds, suggesting that the EDCH gene cluster expanded in the stem lineage of crocodilians . Other aEDCRP, we identified orthologs in crocodilians , and a precursor of EDCRP. The cooption of epidermal structural proteins may be a common theme in the evolution of feathers and hair . It remaodilians , whereasodilians . The chaodilians . The croodilians , 2015. Todilians , a layerodilians . This leIn conclusion, the results of the present comparative genomic analysis of the EDC in archosaurs provide a basis for studying the specific roles of genes involved in epidermal differentiation in crocodilians and allow to further delineate the evolutionary divergence between the crocodilian and avian skin.Genome Biology and Evolution online.The authors declare no competing financial interests.Supplementary Figures and TablesClick here for additional data file."}
+{"text": "The Community Assessment of Psychic Experiences (CAPE) is a self-report questionnaire that has been developed to measure the dimensions of psychosis in the general population. The cross-national equivalence of a questionnaire allows the comparability of a scale across different populations in different countries, i.e., using different versions of the scale according to the considered language. In this study, our aim was to investigate the equivalence of the CAPE across different countries.Data were drawn from the European Union Gene-Environment Interaction (EU-GEI) study. Participants were recruited across in six countries: United Kingdom, the Netherlands, Italy, Spain, Brazil and France. To analyse the cross-national equivalence of the dichotomised version of the CAPE, we used the multigroup categorical confirmatory factory analysis (MCCFA). The cross-national equivalence can be stated after the establishment of three invariances characterised by increased constraints: the configural invariance, the metric invariance and the scalar invariance across the multiples groups.The configural invariance model fits well, providing evidence for identical factor structure across countries. The assumption that factor loadings are identical across countries is granted based on the negligible change in the fit indices in the metric invariance model. Moreover, the fit indices suggest that the CAPE shows scalar invariance across countries.These findings suggest that comparisons across countries of factor and observed means of the CAPE are possible. Thus, differences observed in scores between samples from different countries can be considered as different levels of psychosis."}
+{"text": "Prior to the Ebola virus disease outbreak in Liberia, the laboratory system was duplicative, fragmented and minimally coordinated. The National Reference Laboratory was conceptualised to address the existing challenges by promoting the implementation of effective and sustainable laboratory services in Liberia. However, in a resource-limited environment such as Liberia, progress regarding the rebuilding of the health system can be relatively slow, while efforts to sustain the transient gains remain a key challenge for the Ministry of Health. In this paper, we describe the pre-Ebola virus disease laboratory system in Liberia and its prevailing efforts to address future emerging infectious diseases, as well as current Infectious diseases, all of which are exacerbated by poverty. We conclude that laboratory and diagnostic services in Liberia have encountered numerous challenges regarding its efforts to strengthen the healthcare delivery system. These challenges include limited trained human resource capacity, inadequate infrastructure, and a lack of coordination. As with most countries in sub-Saharan Africa, when comparing urban and rural settings, diagnostic and clinical services are generally skewed toward urban health facilities and private, faith-based health facilities. We recommend that structured policy be directed at these challenges for national institutions to develop guidelines to improve, strengthen and sustain diagnostic and curative laboratory services to effectively address current infectious diseases and prepare for future emerging and re-emerging infectious diseases. Kennedy Memorial Hospital, a tertiary referral hospital in Monrovia. With prevailing viral infectious diseases as its initial core, its primary laboratory diagnostic capacity was limited to measles, rubella and yellow fever. At the time, samples for Lassa fever were collected, packaged and transported for diagnosis at the Lassa Fever Laboratory in Kenema, Sierra Leone. With support from international partners, basic equipment and human resource development aimed at expanding the capacity of the NRL were secured, and the laboratory was subsequently relocated in 2009 to the compound of the Liberia Institute for Biomedical Research in Charlesville, Lower Margibi County. Afterward, a programme known as the National Diagnostic Unit (NDU) was established.The primary focus regarding the implementation of effective and sustainable laboratory services in Liberia was accentuated with the conceptualisation of the National Reference Laboratory (NRL) in 2008.2 and subsequently culminated with a drastic brain drain as the result of the migration of trained Liberians to politically-stable countries. In a resource-limited environment such as Liberia, progress regarding the rebuilding of the health system has been relatively slow and sustaining the gains from transient spikes in improved health indicators remain a major challenge.Liberia has gradually been rebuilding its healthcare delivery system after 16 years of devastating civil conflicts which erupted in December 1989, destroyed the country\u2019s health infrastructure3 of the Ministry of Health that established the minimum threshold for trained human resources development, laboratory infrastructure, disease surveillance and laboratory diagnostic capacities at each level of the healthcare delivery system in the country.Accordingly, laboratory-based service delivery in Liberia has been basically defined in several key policy documents3 The National level comprises the NRL and NDU; the County level involves the referral hospitals in the political subdivisions of the country; and the Peripheral level accounts for the district and community health facilities. With the development of the Country\u2019s National Decentralization Policy4 for the regionalisation of services within the country, geared toward the improvement of services in the disenfranchised rural areas, a fourth level of the laboratory system was incorporated; thereby, allowing for (1) National; (2) Regional; (3) County; and (4) Peripheral levels. Accordingly, the NRL and NDU are strategically situated within the National level. The regional tier consists of five regional laboratories based on the decentralisation of the country, namely: (1) Southeast A; (2) Southeast B; (3) North central; (4) South central; and (5) Western. The county and peripheral tiered systems are basically the same levels as in the prior three-tiered approach.Liberia\u2019s laboratory system was initially classified into a three-tiered health system structure consisting of the: (1) National; (2) County ; and (3) Peripheral levels.In general, there are two main categories of laboratory services in Liberia. The first is the clinical laboratory services designated for clinical specimen testing for diagnostic purposes and the second is public health laboratory services directed at disease surveillance.According to its mandate, the NRL has a four-fold responsibility: (1) perform diagnostic testing services on specimens for diseases with epidemic potential that are under surveillance, especially those that are immediately notifiable to the World Health Organization, now inclusive of Ebola virus disease (EVD), as required by the International Health Regulations; (2) oversee the network of public laboratory structures within the country and the provision of services through quality assurance, training, monitoring and supportive supervision; (3) assess new and available technologies; and (4) provide technical advice to the Ministry of Health.Similar to the NRL, the NDU conducts quality assurance, monitoring and evaluation, and training. Furthermore, it coordinates procurement processes for the distribution of laboratory commodities for special programmes supported by the Global Funds, such as HIV, AIDS, malaria and tuberculosis programmes. When constructed, the regional laboratories will support the NRL in its surveillance testing , as well as the county-level coordination of the activities of the laboratory system. In addition, they will lend diagnostic support to the laboratories at the county hospitals.These structures are responsible solely for clinical specimen testing for diagnostic purposes. Test categories include, among others, chemistry, haematology and parasitology. Apart from the traditional structures indicated for service delivery, certain programs of the Ministry of Health are also involved in cross-cutting testing activities . These programmes include: (1) the National AIDS Control Program; (2) the National Malaria Control Program; (3) the National Tuberculosis & Leprosy Control Program; and (4) the National Blood Safety Program.Laboratory equipment, reagents and supplies for the operations of the various laboratory structures are either procured by the Ministry of Health or donated by international partners. The operation of the procurement activities is performed by two organisations: (1) the National Drug Service; and (2) the Global Fund, which supports the HIV, tuberculosis and malaria programmes. Both of these key operational processes (procurement and donations) for the effective functionality of the laboratory system in Liberia exist without defined \u2018Maintenance and/or Service Contracts\u2019.There are two accredited faith-based and one publicly-owned laboratory training institutions in Liberia. These are: (1) the Mother Patern College of Health Sciences in Monrovia, Montserrado County; (2) the Phebe School of Nursing in Suacoco, Bong County; and (3) the Tubman National Institute of Medical Arts in Monrovia. The qualifications offered by these training institutions, based on a duration of training that ranges from 2\u20134 years, includes Diploma in Laboratory Science ; Associate of Science and Bachelor of Science in Laboratory Technology by the Mother Patern College of Health Sciences.6 Poor health infrastructure, lack of logistics during the beginning of the outbreak, and an inadequate number of trained staff in public health disease surveillance and laboratory diagnostic response in emergency situations, were key factors leading to the delay in response to the outbreak. These pre-EVD laboratory challenges, among others, included:The status of the existing laboratory structure and service delivery system in Liberia is characterised by numerous challenges, which were uncovered during the EVD outbreak in Liberia that became a major public health problem in the country and the sub-region.Lack of integration between public health surveillance and laboratory diagnostic services, resulting in fragmented service delivery.Lack of a well-defined organisational structure with clearly-defined objectives, including existing duplications of roles and responsibilities within the tiered laboratory systems to support an effective leadership and management system.Lack of adequate financial resources for infrastructure support and operational costs.Inadequately trained laboratory workforce, including inadequate deployment across the country.Unavailability of maintenance and service contracts for procured and/or donated laboratory equipment and supplies to sustain the effective operation of the laboratory infrastructure.Lack of adequate biomedical equipment technicians to maintain and repair laboratory equipment.Unstable electric power supply and inadequate water supply for laboratory service utilisation.Lack of effective Laboratory Information Management System for coordination, operations, and the efficient functionality of the various tiered systems.7 It was aimed at addressing the challenges associated with limited diagnostic services, which subject patients to inappropriate treatment, chronic illnesses, high out-of-pocket expenditures on healthcare, loss of income and, ultimately, loss of confidence in health services. To mitigate the challenges, the proposed policies targeted the following areas:Despite these challenges, efforts were directed at the development of a National Laboratory Policy to prioritise the delivery of laboratory services within the health system.Organisation: Strengthen the legal and regulatory framework, as well as the technical and administrative organisational structures, for the delivery of laboratory services nationwide.Test selection and referral linkage: Ensure that appropriate tests are performed at the appropriate facility level in a decentralised network and the provision of oversight to establish appropriate communication structure and processes in order to create a referral linkage or network between facilities.Human resources: Ensure the presence of certified laboratory personnel in all public and private laboratories, regulate through periodic certification and develop curriculum standards to support training institutions.Quality assurance: Ensure that laboratories are certified according to defined standards with established systems for independent certification.Infrastructure: Provide safe and adequate infrastructure standards for all public and private laboratories at each level of care and ensure, through certification, that laboratories have standard operating procedures and required infrastructure for laboratory safety and operation.Equipment: Ensure that all laboratories have properly working equipment with both preventative and curative maintenance, and enforce standardisation such that all equipment and supplies meet national specifications and are maintained according to manufacture guidance.Supply chain management: Support an uninterrupted distribution of reagents and supplies to all laboratories, and ensure that an effective system is in place to select, quantify, procure, transport, store, distribute and keep records of all equipment, reagents, and supplies.National blood safety: Ensure a safe supply of blood for transfusions and promote voluntary blood donations.Biosafety: Provide a safe environment and ensure laboratory personnel adhere to safety protocols and quality assurance standards, including laboratory safety for protection of professional staff, public and the environment.Financial resources: Allocate resources to sustain quality laboratory services.Research and development: Identify major laboratory research priorities and promote the culture for operational research, and evaluate and introduce new innovative technologies into the laboratory system.Collaboration: Improve laboratory services through public and private partnerships, as well as support for national and international collaborations.Ethics: Ensure a professional code of conduct and client confidentiality.Information system: Design a laboratory information system that is fully integrated for information flow between laboratories within a referral network.Policy implementation: Monitor and evaluate the efficiency and effectiveness of the laboratory system, as well as its sustainability.Policy regulation: Ensure that laboratory guidelines are updated regularly and in compliance with internationally-accepted standards.We recommend that a joint public\u2013private partnership team be established to conduct a comprehensive technical assessment of the laboratory system within the country and provide appropriate recommendations to combat emerging infectious diseases. Enhancing the laboratories\u2019 capacity for research requires: the availability of essential equipment and appliances; development of relevant and sustained human capacity through continuing education, on-the-job training and mentorship; formulation and adherence to guidelines and standard operating procedures, and compliance with Good Laboratory Practice and other international standards, such as ISO 15189.The EVD outbreak in Liberia has necessitated improved laboratory capacity to respond to an epidemic of emerging infectious pathogens as well as support for the development of a suitable research platform during such public health emergencies. Accordingly, we propose a framework to strengthen the laboratory system of the country based on a preparedness strategy to mitigate future outbreaks of emerging and re-emerging infectious diseases See .Laboratory and diagnostic services in Liberia have encountered numerous challenges regarding their contributions toward the strengthening of the healthcare delivery system in Liberia. These challenges are a consequence of limited trained human resource capacity, inadequate infrastructure, and lack of coordination among the four tiers. Diagnostic services are skewed in urban health facilities as compared to those in rural communities, and also skewed in favour of private and faith-based health facilities when compared to public health facilities. These disparities are markedly observed throughout the country and significantly impact patient care and emergency situations. The lack of in-country diagnostic laboratories for the diagnosis of viral haemorrhagic fevers, such as Lassa fever and EVD, prior to the EVD outbreak, confirmed the limitations and challenges the country faced with regard to diagnostics services. Prior to the EVD outbreak, suspected Lassa fever specimens were transported to Sierra Leone for diagnostic confirmation, which significantly increased the duration of the reporting and turnaround time for case confirmation, especially in a Lassa fever-endemic country, such as Liberia. Limited training of laboratory personnel in molecular diagnostic techniques, and laboratory response in a health emergency, were also a major challenge.Disease surveillance on the national level has been limited to a paper-based system. Protracted turnaround time and delay in reporting has been a key diagnostic and service delivery challenge in most areas, predominantly in rural settings. Surveillance of diseases has been limited to those in humans and not in animals. In the recent EVD outbreak, active case findings were primarily based on the assumptions of humans as the portals for sporadic outbreaks or re-emerging infections. EVD being a zoonotic disease, its surveillance in animals such as bats, monkeys and other primates should also receive adequate attention from the laboratory diagnostic and public health surveillance systems. Furthermore, hunting communities should also be considered as sources of information gathering and active case findings.8 Religious practices such as bathing the dead, wake-keeping for the deceased, gathering in groups and rituals for worship, and secret societies for men and women regarding cultural initiation, also predispose communities by creating favourable portals and suitable enabling environments for the transmission of emerging infectious diseases. For these reasons, the development and availability of diagnostic platforms remain paramount for rapid detection and control of emerging and re-emerging diseases.As with our West African neighbours and other countries in sub-Saharan Africa, Liberians have close cultural ties and extended families across the porous borders. Cultural practices, such as eating bush meat , are common cultural norms which could expose communities to zoonotic-associated diseases, such as EVD."}
+{"text": "The Polio Eradication and Endgame Strategic Plan (PEESP) established a target that at least 50% of the time of personnel receiving funding from the Global Polio Eradication Initiative (GPEI) for polio eradication activities should be dedicated to the strengthening of immunization systems. This article describes the self-reported profile of how GPEI-funded personnel allocate their time toward immunization goals and activities beyond those associated with polio, the training they have received to conduct tasks to strengthen routine immunization systems, and the type of tasks they have conducted.A survey of approximately 1000 field managers of frontline GPEI-funded personnel was conducted by Boston Consulting Group in the 10 focus countries of the PEESP during 2 phases, in 2013 and 2014, to determine time allocation among frontline staff. Country-specific reports on the training of GPEI-funded personnel were reviewed, and an analysis of the types of tasks that were reported was conducted.A total of 467 managers responded to the survey. Forty-seven percent of the time of GPEI-funded personnel was dedicated to tasks related to strengthening immunization programs, other than polio eradication. Less time was spent on polio-associated activities in countries that had already interrupted wild poliovirus (WPV) transmission, compared with findings for WPV-endemic countries. All countries conducted periodic trainings of the GPEI-funded personnel. The types of non\u2013polio-related tasks performed by GPEI-funded personnel varied among countries and included surveillance, microplanning, newborn registration and defaulter tracing, monitoring of routine immunization activities, and support of district immunization task teams, as well as promotion of health behaviors, such as clean-water use and good hygiene and sanitation practices.In all countries, GPEI-funded personnel perform critical tasks in the strengthening of routine immunization programs and the control of measles and rubella. In certain countries with very weak immunization systems, GPEI-funded personnel provide critical support for the immunization programs, and sudden discontinuation of their employment would potentially disrupt the immunization programs in their countries and create a setback in capacity and effectiveness that would put children at higher risk for vaccine-preventable diseases. The Polio Eradication and Endgame Strategic Plan (PEESP) defined its second objective around the strengthening of immunization systems and established a target that at least 50% of the time of field personnel funded by international partners of the Global Polio Eradication Initiative should be dedicated to the strengthening of immunization systems; additional components of the second objective involve increasing coverage with the third-dose of diphtheria, tetanus, and pertussis containing vaccine DTP3) in districts where the risk of polio is high, introducing inactivated poliovirus vaccine, and withdrawing oral polio vaccines following certification of eradication of the wild type virus . This is in distrBecause wild poliovirus has been endemic until recently in many countries with very weak health systems, significant investments have been made by GPEI to increase human-resources capacity at national levels and in high-risk polio districts to achieve the eradication goal. In 2012, close to 28 000 GPEI-funded personnel were active in the 10 focus countries of the PEESP These peIn their assessment of the impact of polio eradication activities on RI programs, Closser et al , 5 concl6\u2013Until recently, there had not been a formal assessment on the amount of time that GPEI-funded personnel spent on broader immunization and mother-and-child-health goals. This article describes the self-reported profile of how GPEI-funded personnel allocate their time toward immunization goals and activities beyond those associated with polio eradication, the training they have received to conduct tasks to strengthen RI systems, and the type of tasks they have conducted. A survey was conducted among about 1000 managers of GPEI-funded personnel involved in frontline polio eradication activities, to develop a quantitative view of the proportion of time frontline staff spend on polio eradication, RI, and other health and development priorities. The survey collected information on broader issues, such as the criticality of polio eradication programs to other health priorities, the impact of these programs on broader immunization goals, and the capabilities that could be at risk if polio funding and support for personnel was reduced .Haemophilus influenza type B, and hepatitis B), pneumococcal conjugate vaccine, and rotavirus vaccine; the second dose of measles vaccine; development of proposals for new-vaccine introduction; and support provide to governments with respect to readiness assessment and planning, development of operational guidelines, postintroduction evaluations, and surveillance. The fifth targeted activities related to creating awareness around issues of child health, including advocacy with political, administrative, religious, and community leaders; assistance with health education; provision of basic health services to children; and implementation of child health days. The sixth category included activities related to improving sanitation and hygiene, such as social mobilization to sensitize communities on importance of sanitation and hygiene, supporting water quality assessment and data gathering, assistance with education on waste disposal and infection control, and supporting installation of toilets in schools. The seventh focused on activities to counsel and educate pregnant women and their families, including communication on exclusive breast feeding and importance of institutional delivery; assistance with policy development, program evaluation, and high-level advocacy; supporting distribution of vitamins; and monitoring of nutritional support for malnourished children. The eighth targeted activities related to improving overall healthcare systems and infrastructure, such as provision of data to governments to improve services; assistance with development of government strategy and long-term planning; supporting the overall supply chain; strengthening partnerships among donors, nongovernmental organizations, and governments; and surveillance for other diseases. The ninth comprised activities related to the response to disease outbreaks and other crises and disasters, such as floods, landslides, earthquakes, and humanitarian crises. The tenth was composed of other diseases or program areas that were not included in the first 9 categories.Respondents were asked to approximate the amount of time spent activities across 10 categories . The first category (polio eradication activities) addressed support for the following polio eradication efforts: policy and strategy development, planning, management and oversight, implementation and service delivery, communications and community engagement, disease surveillance and data analysis, and partnership and coordination. The second (RI) targeted activities related to strengthening local RI systems, such as Expanded Program on Immunization (EPI) capacity building, monitoring and supervision of immunization sessions, data management and analysis, and design and implementation of communication strategies for RI. The third (measles and rubella) focused on activities related to targeted measles and rubella prevention and elimination, including vaccination campaign support and case surveillance. The fourth category (new vaccine introduction) consisted of activities related to facilitating the introduction of new and underutilized vaccines, such as pentavalent vaccine , the United Nations Children\u2019s Fund (UNICEF), the Centers for Disease Control and Prevention, and Rotary International were tasked with distributing the survey link via email to their respective country program leaders across the 10 countries, who then identified the managers of frontline staff. The managers completed the survey on behalf of their teams. The number of surveys to managers of frontline workers distributed is presented in Alongside the survey, Boston Consulting Group conducted interviews with country-level leadership not only to validate insight from the survey, but to better understand reasons for success or failure in supporting other health priorities, particularly with regard to meeting or exceeding targets for RI support. The interviews were free-flowing discussions and played an important part in contextualizing the situation and options for moving forward in each country.From the 10 priority countries, responses from 467 GPEI-funded personnel were included in the analysis . GPEI-fuThe time spent on RI activities, by country, ranged from 15% to 32% . WHO and UNICEF personnel allocated a similar proportion of time to RI . The program area with the next-highest time allocation was measles and rubella control , with values of 3% in Afghanistan, 5% in Pakistan, 7% in Nigeria, 7% in Chad, 11% in Somalia, 11% in India, 13% in Angola, 14% in the DRC, 14% in South Sudan, and 21% in Ethiopia.There was variation in time allocation across countries. Countries in the WHO Eastern Mediterranean Region (EMR) countries\u2014particularly the polio-endemic countries of Afghanistan and Pakistan\u2014spend substantially more time on polio eradication activities and comparatively less time supporting other health priorities . CountriGPEI-funded staff were asked to rank their views of the most important influences of the polio eradication program on non\u2013polio-related health and development programs and goals. The top 5 program activities selected (in rank order) were communication and social mobilization, capacity building, monitoring and supervision, strengthening RI, and support for control of other diseases, such as measles and rubella .P < .025). The same relationship holds true for RI-related activities , compared with the number of frontline workers (close to 29 000), making it logistically feasible under the challenging circumstances of conducting this field survey to achieve a response rate that is high and representative of the universe of frontline workers. Second, some frontline staff may not be able to reliably access an online survey or may not read English (the only language the survey was coded in), which could therefore reduce the response rate and data confidence.The exact number of surveys distributed was reported for 6 of 10 countries. In the 4 remaining countries, the survey was distributed to about 200 managers.Some country and agency data are more robust than others. In particular, the number of responses and yield associated with UNICEF personnel managers for South Sudan and Pakistan are quite low, despite reminders sent to the managers. In these 2 instances in particular, we caution drawing broad implications from the survey results, given the sample size and yield.GPEI-funded personnel spent substantial time on broader immunization and mother and child health program activities. While the amount of time varied by country, GPEI-funded personnel were being used to improve RI program activities and strengthen systems, control measles and rubella, conduct surveillance activities, and support broader maternal, newborn, and child health programs. This is particularly true in countries where wild poliovirus circulation had been interrupted and the number of campaigns was reduced. This finding is in line with findings reported by Closser et al .Analysis of the type of activities conducted in RI reveals that, across regions, GPEI-funded personnel were most frequently engaged in advocacy, communications, and community engagement, followed by research, which included activities related to learning and refining RI approaches in the field, and special studies. Notably, training and capacity building was a top activity in India and less so in the other regions. Personnel terms of reference included RI as per survey data, demonstrating the increasing formal role of GPEI-funded staff in RI activities. However, RI training rates are quite variable\u2014in Chad, all GPEI-funded personnel (100%) have been trained in RI. In contrast, only 56% of surveyed personnel in the EMR countries have received RI training. In Chad, the revitalization of the RI programs depend largely on GPEI-funded staff both at national level and decentralized levels.GPEI-funded assets have helped raise awareness of the importance of RI for polio and other vaccine-preventable diseases, yield data and surveillance information that allow countries to develop evidence informed RI planning and implementation, facilitate systematic RI microplanning, provide RI services to deprived communities, such as nomads, migrants, rural remote populations . Sudden While self-reported data by GPEI frontline managers may introduce some bias, it is clear that the polio eradication program has been successful in increasing capacity at the local level in countries and places where systems are weakest\u2014districts where the risk of polio is high. Decentralizing support to RI microplanning, and conducting district taskforce meetings to analyze data for action are promising approaches to improve the program, as shown in India. In Nigeria and India, GPEI has shifted its social mobilization efforts from being externally driven to local agents, often women, who promote immunization, child health, and birth registration in their own communities, with tangible results and impacts.Although a direct causal relationship between national RI improvements and GPEI-funded personnel\u2019s\u2019 time spent on non\u2013polio eradication activities is challenging to establish, in 6 of 10 focus countries , DTP3 coverage improved between 2013 and 2015; in 2 , no progress was reported; and in 2 (Angola and South Sudan), coverage regressed between 2013 and 2015, based on WHO and UNICEF estimates for immunization coverage ["}
+{"text": "A 69-year-old man, native of metlaoui in Tunisia, presented to the Department of Rheumatology at our institution with 10 years of non-inflammatory rachialgia with polyarthralgia. On examination, the patient had no fever or joint swelling, his teeth had brown strains and rough, there was diffuse tenderness at the cervical and lumbar spine and neurological examination was normal. Standard radiographs revealed diffuse bone condensation involving all vertebrae of the cervical, dorsal (A) and lumbar (B) spine, the skull (C), the pelvis (D) and the limbs. The origin of the patient, the brownish color of the teeth and the radiological appearance led to suspicion of fluoride poisoning, which was confirmed by the very high blood fluoride and urine dosage. Skeletal fluorosis is a rare toxic osteopathy characterized by massive bone fixation of fluoride. Its origin is dominated in the countries of North Africa by hydro-telluric poisoning. Its severity lies in the development of skeletal deformities and neurological complications. Management of fluorosis generally focuses on symptom treatment."}
+{"text": "Amine oxidases (AOs) are ubiquitous enzymes involved in the metabolism of biogenic amines. Copper AOs (Cu-AOs) catalyze the oxidative deamination of primary amine groups of several biogenic amines, such as putrescine, cadaverine, and histamine. In the present review, the effects of a plant amine oxidase purified from pea seedlings in the modulation of IgE-mediated allergic reactions, and in the prevention of cardiac and splachnic postischemic reperfusion damage are reported."}
+{"text": "In the Author Contributions section, Omri Tal (OT) should also be listed under Wrote the paper, Wrote the Appendix and performed and analyzed the simulations, and Revision of manuscript.The legend of"}
+{"text": "A global initiative on sharing avian flu data\u2019 (GISAID) [Ten years ago, a correspondence ,2, signe(GISAID) , leading(GISAID) . Its conIn 2006, the reluctance of data sharing, in particular of avian H5N1 influenza viruses, created an emergency bringing into focus certain limitations and inequities, such that the World Health Organization (WHO)\u2019s Global Influenza Surveillance Network . This daA unique collaboration ensued, involving, in addition to members of WHO\u2019s GISRS and OIE/FAO reference laboratories, the wider influenza research community along with officials in governmental institutions and non-governmental organisations. Facilitated by a well-connected broadcast executive with background in licensing of intellectual property, an agreement was drawn up on the sharing of genetic data to meet emergency situations, without infringing intellectual property rights - the GISAID Database Access Agreement (DAA). The DAA governs each individual\u2019s access to and their use of data in GISAID\u2019s EpiFlu database . It was The essential features of the DAA encourage sharing of data by securing the provider\u2019s ownership of the data, requiring acknowledgement of those providing the samples and producing the data, while placing no restriction on the use of the data by registered users adhering to the DAA. It essentially defines a code of conduct between providers and users of data, cementing mutual respect for their respective complementary contributions, and upholding the collaborative ethos of WHO\u2019s GISRS, initially established 65 years ago this year [Launched in 2008, the EpiFlu database was of key importance in the response to the 2009 influenza A(H1N1) pandemic, allowing countries to readily follow the evolution of the new virus as it spread globally . AcceptaGISAID provides the data-sharing platform particularly used by GISRS, through which sequence data considered by the WHO CCs in selecting viruses recommended for inclusion in seasonal and pre-pandemic vaccines are shared openly and on which research scientists, public and animal health officials and the pharmaceutical industry depend. Such openness of the most up-to-date data assists in an understanding of and enhances the credibility of the WHO recommendations for the composition of these seasonal and potential-pandemic vaccines.Furthermore, in promoting the prompt sharing of data from potential pandemic zoonotic virus infections, as well as from seasonal influenza viruses, GISAID ensures a key tenet of the WHO Pandemic Influenza Preparedness (PIP) Framework , highligTraditional public-domain archives such as GenBank, where sharing and use of data takes place anonymously, fulfil a need for an archive of largely published data; however, that conventional method of data exchange notably has not been successful in encouraging rapid sharing of important data in epidemic or pandemic situations, such as those caused by Middle East respiratory syndrome coronavirus (MERS-CoV) and Ebola viruses. While the GISAID EpiFlu database is hosted and its sustainability ensured through the commitment of the Federal Republic of Germany , the estThat GISAID has become accepted as a pragmatic means of meeting the needs of the influenza community in part reflects the particular characteristics of influenza and the continual need for year-round monitoring of the viruses circulating worldwide, essential for the biannual vaccine recommendations and assessment of the risk posed by frequent zoonotic infections by animal influenza viruses . In the Given the crucial importance of genetic data in improving our understanding of the progress of an emergent, potentially devastating epidemic, the effectiveness of GISAID in influenza pandemic preparedness is self-evident and provides important lessons for future pandemic threats. While the genetic makeup and the necessary associated data of the different viruses are distinct requiring separate databases/compartments for unambiguous analysis, the modi operandi for sharing genetic data are generic and the GISAID mechanism could be applied to other emerging pathogens. Indeed, the wider implementation of such a data sharing mechanism should be key in concerted efforts to contain spread of disease in animals and threats to human health, in realising the concept of One Health."}
+{"text": "Post-traumatic stress disorder (PTSD) is a debilitating psychiatric condition for which pharmacological therapy is not always solvable. Various treatments have been suggested and deep brain stimulation (DBS) is currently under investigation for patients affected by PTSD. We review the neurocircuitry and up-to-date clinical concepts which are behind the use of DBS in posttraumatic stress disorder (PTSD). The role of DBS in treatment-refractory PTSD patients has been investigated relying on both preclinical and clinical studies. DBS for PTSD is in its preliminary phases and likely to provide hope for patients with medical refractory PTSD following the results of randomized controlled studies. In the Diagnostic and Statistical Manual of Mental Disorder\u2013V (DSM-V) post-traumatic stress disorder (PTSD) is described not only as a feeling of fear and helplessness, as it was classified in the DSM-III, but also as a disorder including negative cognitions, negative emotional states, and reactivity symptoms . VictimsThe anatomical structures involved in the neurocircuitry of fear conditioning are amygdala, prefrontal cortex, and hippocampus. Basolateral complex (BLA) of amygdala, consisting of the lateral nucleus (LA), the basal nucleus (BA), and the accessory basal nucleus, is the main receiver of the sensory afferences coming from two sources: the thalamus sensory nuclei and the primary sensory areas of the cerebral cortex. For many types of emotions, and especially for fear, the amygdala is of great importance, and valuable information retransmitted through this path reaches the amygdala more rapidly than sensory information retransmitted by the cortex. For example, lesions of the basolateral complex abolish classic fear conditioning . Other nPharmacotherapy, based on paroxetine, sertraline, fluoxetine, risperidone, topiramate, and venlafaxine, associated with psychotherapy can be effective in PTSD ; howeverLangevin et al. demonstrated a therapeutic response and a decrease of amygdala hyperactivity after DBS stimulation of the BLA complex in PTSD model rats using 4 h/die stimulation with 160 Hz, 120 \u03bcs and 2.5 Volts in monopolar configuration ,26. DeveThe effects of ventral striatum (VS) DBS have been tested in a rodent PTSD model. DBS of the VS (the VC/VS homolog in rats) during extinction training allowed reduction of fear expression and strength of extinction memory; stimulation of dorso-medial VS, just above the anterior commissure, allowed facilitation of extinction while stimulation of more ventro-lateral sites in VS impaired extinction .Disruptions of fear extinction-related potentiation of synaptic efficacy in the connection between the hippocampus (HPC) and the medial prefrontal cortex (mPFC) have been shown to impair the recall of memory extinction in rats. Moreover, low-frequency hippocampal stimulation delivered after extinction impaired the extinction learning and the development of hippocampal-PFC plasticity . Medial Treatment-resistant PTSD is an important mental health issue in terms of the number of people affected and morbidity and functional impairment associated with the disorder.Neuroimaging studies in humans support the hypothesis of the involvement of limbic regions in the pathophysiology of the disorder. The application of DBS for PTSD is still strictly investigational and animal models suggest that stimulation of the amygdala, ventral striatum, hippocampus, and prefrontal cortex may be effective in fear extinction and anxiety-like behavior. The limited data from humans support the potential safety and effectiveness of high frequency DBS of the basolateral amygdala (BLA) in treating PTSD.Optimal targets and stimulation parameters, greater knowledge of the action mechanisms, and established criteria of inclusion/exclusion need to be characterized prior to the launch of multidisciplinary larger scale studies, always keeping in mind the risks associated with the surgical procedure and long-term neurostimulation."}
+{"text": "A 35-year-old man of Tunisian origin complained of inflammatory arthralgia and he had noticed a progressive enlargement of his hands and feet as well as facial furrowing. On examination, he had thickening of the skin of the head and distal extremities and deep folds and furrows of the skin of the forehead (A), digital clubbing of fingers (B) and toes (C), spadelike enlargement of the hands and feet, hyperhidrosis of the hands and feet and seborrhea. Inflammation tests were disturbed. Radiographs showed periostosis of the long bones (D) and sacro-iliac osteosclerosis. After excluding secondary causes, primary hypertrophic osteoarthropathy also called pachydermoperiostosis (PDP) was established. This disease is characterised by thickening of the skin of the head and distal extremities, deep folds and furrows of the skin of the forehead, cheeks, and scalp, seborrhea; hyperhidrosis; periostosis of the long bones and digital clubbing. The treatment consisted in our case of analgesics and NSAIDs."}
+{"text": "A 45-year-old man presented with low back pain evolving since 8 years associated sometimes with a radicular radiation. The clinical examination found a patient in good general condition, a loss of the lumbar lordosis, an exaggeration of the dorsal kyphosis with stiffness of the lumbar spine. The cutaneous-mucosal examination showed a brownish appearance of the ears, conjunctiva, and lower eyelids. In biology there was neither inflammatory syndrome nor perturbation of the phosphocalcic balance. The standard radiographs of the lumbar spine (A) and dorsal spine (B) revealed multiple disc calcifications associated with large staggered disc clumps and discal empty images. Due to mucocutaneous signs, normality of biology and the radiological aspect, the diagnosis of ochronosis was suspected and confirmed by the test of blackening of the urine to the ambient air, the results of the cutaneous biopsy showed pigmented deposits yellow ocher and brownish in the dermis and the dosage of alkaptonuria. Symptomatic treatment resulted in moderate improvement. The family survey did not reveal any similar cases. Ochronosis or alkaptonuria is a rare autosomal recessive disorder of tyrosine metabolism. Deficiency of homogentisate 1,2 dioxygenase results in accumulation of oxidized homogentisic acid in the connective tissues of the skin, eyes and ears, musculoskeletal system, and cardiac valves, and in urolithiasis. Ochronosis is of late onset, responsible for the rachis of extended disc calcifications with maximum spinal fusion. It is the cause of degenerative arthropathy. Early diagnosis and screening of this disease are then of great interest, especially for genetic counseling."}
+{"text": "Based oDiagnostic laboratories in Senegal operate within a three-tiered laboratory system: (1) district and peripheral health centre level laboratories; (2) regional level laboratories; and (3) central and hospital level laboratories . The orgThe Laboratory of Bacteriology and Virology (LBV) at Cheikh Anta Diop University (CADU), which is located at Le Dantec Hospital in the capital city, has been recognised by health authorities as the HIV National Reference laboratory since 1986. In partnership with the Ministry of Health and the National AIDS programme, LBV/CADU is responsible for evaluating and validating diagnostic testing technologies, and technologies for CD4 count, viral load and EID. Additionally, LBV/CADU ensures the supervision of other laboratories through a national external quality assessment (EQA) programme, through distribution of regular proficiency testing panels, collection of data for analysis, and follow-up and corrective actions in partnership with the Ministry of Health, the National Committee for the Control of AIDS and the Division for the Control of AIDS and Sexually Transmitted Diseases.At the central and reference laboratory level, the HIV viral load, EID, CD4-count monitoring and HIV-diagnosis capabilities of LBV/CADU are described in 7 and proficiency testing is one of the major components of a quality assurance programme. In Senegal, laboratory infrastructure is relatively well developed at the national and regional levels. However, issues such as inadequate infrastructure, shortage of qualified staff, lack of equipment, limited quality assurance and control procedures are frequently seen among district and peripheral health centre laboratories.Quality assurance is the backbone of quality laboratory performance9 LBV/CADU has been working recently with the US Centers for Disease Control and Prevention to strengthen laboratory systems in Africa and Senegal though the implementation of quality management systems. The LBV/CADU-hosted AFRIQUALAB has been created for that purpose. AFRIQUALAB aims to improve laboratory quality in Africa through regular organisation and distribution of proficiency testing panels across the African continent, including in francophone countries. AFRIQUALAB works in partnership with the US Centers for Disease Control and Prevention, Westat and One World Accuracy, a private Canadian-based organisation specialising in EQA. During 2015, there were 174 participating laboratories from 28 countries, of which eight laboratories were from Senegal. The proficiency testing organized by AFRIQUALAB is mostly free and focused on HIV-related proficiency testing panels, including HIV serology and flow cytometry. Through technology transfer from the US Centers for Disease Control and Prevention, the programme is also offering free EQA for EID using dried-blood specimens and for HIV viral load using dried-tube specimens. Currently, more than 60 laboratories are participating in this EQA sub-programme for EID using dried-blood specimens and for HIV viral load using dried-tube specimens in Africa, including eight laboratories in Senegal.The maintenance of a quality management system, including quality assurance, is crucial for having and providing good and reliable laboratory services.Additionally, AFRIQUALAB is also involved in an EQA programme focusing only on CD4 count technologies within Senegal, with the support of the National AIDS programme and the Public Health Agency of Canada, an international programme for quality assessment and standardisation for immunological measures relevant to HIV. AFRIQUALAB also offers other panels, such as haematology, biochemistry, hepatitis B and C and mycobacteria, to participating labs using a fee-based service structure. LBV/CADU has made major improvements to its own quality management system and has recently achieved International Organization for Standardization 15189 accreditation of its medical laboratories.Additionally, within Senegal and at the national level, the Ministry of Health has recently released a national strategic plan that will guide the quality management system across the medical laboratory services and system in the country.Laboratories participating in the EQA programme for HIV rapid testing and CD4 (including POC) received feedback and, based on their results, have implemented corrective actions, as needed, to improve the quality of services, and were encouraged to participate in a laboratory network for continuous improvement. These outcomes are positive steps toward the implementation of quality management systems.The feedback received from the EQA programme has been used as an opportunity for participating laboratories to be more vigilant in many aspects of their work; for example, with respect to the expiration date for reagents, implementation of corrective actions, and on-site training for staff. The quality assurance programme and the external quality control activities must be followed up by systems-strengthening activities, such as staff training at all levels. We found that there is a need for more communication between the National Reference Laboratories and the Bureau of Laboratories, located at the Ministry of Health, regarding the type of corrective actions and support to be provided from the central/national level to regional and peripheral laboratories. There is also a need to provide incentives such as certificates of participation or achievement to successfully performing labs.Currently, all 24 sites in-country with POC diagnostic technologies, including POC for CD4, are participating in an EQA programme organised by LBV. Since 2004, LBV, with the support of the national AIDS programme, has provided voluntary, free-of-charge EQA of HIV rapid testing to assess the performance of laboratories conducting HIV diagnostics in Dakar and other regions. Currently, the EQA programme for HIV rapid testing uses dried-tube specimens. The proficiency testing panels consist of four specimens distributed at ambient temperature to participants. The results from the participants are sent to the national reference laboratory via email or cell-phone text messaging.With regard to the 90-90-90 goals, the affordability of viral load testing and CD4 count measures is a key factor in plans to expand HIV laboratory services and scaling antiretroviral therapy across Senegal. The country will need to put in place an affordable and sustainable strategy to reinforce the capacity of the public laboratories as well as to advocate for a strong political commitment from the Ministry of Health and sponsors. In partnership with the National AIDS programme, LBV/CADU is planning to estimate the costing and to undertake a cost-effectiveness study of implementing a nationwide HIV POC testing system, for CD4 count and viral load testing. The costing for, and cost-effectiveness of, a related quality assurance programme will be also taken into account. A model of costing for HIV POC testing, including quality assurance activities is currently under review with the International Diagnostics Centre of the London School of Hygiene and Tropical Medicine."}
+{"text": "Xishan Hao, CAE academician from NCRCC and Prof. Raju Kucherlapati, member of the National Academy of Science of the United States (US) from Harvard Medical School. As the conference chair, Prof. Hao, together with co-chair Prof. Kucherlapati, delivered a warm welcome speech. More than 300 people from all over the world attended this conference and 23 talks were presented at this meeting, focused on precision medicine in China. Then Prof. Ping Wang, President of Tianjin Medical University Cancer Institute and Hospital, and Zhaofeng Zhang, Director, Division of Biotechnology and Medicine, Department of Science and Technology for Social Development, Ministry of Science and Technology of China, also gave their brief remarks for welcome. The conference was preceded by a next-generation sequencing (NGS) and bioinformatics analysis workshop on Sept 22, covering topics from DNA/RNA extraction to sequencing data analysis. In this report, we provided a short introduction on the talks and briefly recapitulated each one of them referring to related publications whenever possible. At the end, we summarize this report with a few comments on the success of IConCPM.Cancer, as a global health issue, has been attracting increasing attention from scientists, medical professionals, as well as the general population. During the past several decades, many therapeutic approaches, including surgery, chemotherapy, radiotherapy and immunotherapy, have come into play for cancer treatment. Nonetheless, many of these treatments are not personalized according to the specific situation or genetic context of a particular patient. Nowadays, precision medicine, defined by President Obama as \u201cdelivering the right treatments at the right time\u2014every time\u2014to the right person\u201d, opens a new era of cancer research with the hope to provide personalized treatment for different patients. To foster the knowledge share and promote potential collaboration on cancer precision medicine domestically and internationally, the first International Conference on Cancer Precision Medicine (IConCPM) took place on September 22\u201324, 2016 in Tianjin, China. The conference was hosted by the National Clinical Research Center for Cancer (NCRCC), Chinese Anti-Cancer Association (CACA), China Medicinal Biotechnology Association (CMBA), Medical and Health Engineering Division of Chinese Academy of Engineering (CAE), Tisch Cancer Institute at the Icahn School of Medicine at Mount Sinai, as well as the National Foundation of Cancer Research (NFCR). IConCPM was initiated by Prof. Hao overviewed the current status of cancer care and precision medicine projects in China, touching global burden of cancer, status of cancer prevention and control, precision medicine and clinical applications in cancer precision medicine. NCRCC, under his leadership, has been committed to establishing precision medicine research platform which includes cancer tissue bank, clinical trial unit, cancer molecular diagnosis, and bioinformatics core. This platform will offer risk prediction, early diagnosis, target therapy, prognosis evaluation, and drug development to help realize the power of precision medicine. Next, Prof. Webster Cavenee from the Ludwig Institute for Cancer Research emphasized in his talk the necessity of international cooperation in cancer clinical trials for precision medicine. One single traditional clinical trial would need hundreds to thousands of patients, but it may turn out impossible to recruit enough patients for certain diseases. Take the US as an example, there are simply not enough patients, say for glioblastoma (GBM), in the entire country to do more than an extremely small number of clinical trials, not even to mention stratification on the basis of ethnicity or other factors. In this context, GBM-AGILE was born to address these issues, which has to accrue needed numbers of patients for combination trials. The goals of GBM-AGILE are rapid and efficient testing of therapeutic agents and their combinations, as well as developing databases of clinical trials, biomarkers, and molecular data. This global platform will bring frontline trials to a consortium of countries, providing sufficient patients to stratify and test drug combinations. Afterward, Prof. Yixin Zeng from the Beijing Hospital focused his talk on molecular classification and personalized medicine. How does molecular classification lead to precision medicine? The answer is to find the right patients, give the right drug at the right timing. Prof. Zeng took the example of nasal pharyngeal cancer (NPC) to illustrate the importance of personalized prevention strategy and molecular classification, which mainly refers to immune markers including immune cell sub-typing, cytokines, major histocompatibility complex (MHC) I and II molecules, B7 family and immune-related inhibitors. He concluded that precision medicine, on the basis of molecular classification, will lead to future development of clinical practice and make modern medicine more cost-effective. In the following talk, Prof. Qimin Zhan from the Peking University Health Science Center introduced his research on genomic alterations of esophageal squamous cell carcinoma (ESCC) Zhan and his group identified 8 significantly-mutated genes in ESCC and mutations in the gene encoding family with sequence similarity 135 member B (FAM135B) are correlated with clinical characteristics. They also found miR-548k, a microRNA (miRNA) that was amplified and overexpressed in ESCC, possesses oncogenic characteristics in vivo and in vitro. In addition, genetic alterations are also revealed in genes encoding components of multiple pathways including Wnt pathway, Notch pathway, RTK-Ras, and Akt pathways. Their findings support the notion that cancer is now considered fundamentally as a disease of genomic alteration. After the four presentations, there was a panel discussion \u2013 Roles of technology, data and analytics in precision medicine. Dr. Lynda Chin from Institute for Health Transformation, University of Texas System and Dr. Peter Bahrs from IBM Watson Health Implementations Team co-chaired this section and discussed the roles of technology, cognitive analytics, and public\u2013private partnerships in precision medicine.In the morning session on Sept 23, three academicians from CAE or Chinese Academy of Sciences (CAS), China, and one member of the National Academy of Science, US, presented their work on precision medicine. Prof. Kucherlapati summarized the Precision Medicine Initiative of the US, featured by disease prevention, detection, and treatment through the precise manner. He also introduced the Moon Shots Program with the ultimate goal to end the threats of cancer. This program was launched by M. D. Anderson Cancer Center in 2012. On January 12, 2016, President Obama announced a Cancer Moonshot\u00a0initiative to accelerate cancer research, which aimed to make more therapies available to more patients and improve our ability to prevent cancer and detect it at an early stage. Next Qing Li, Director, Science and Development Centre, the National Health and Family Planning Commission of China, introduced the reform of science and technology program management system and the foundation of the several national-level projects. And in the end, he shared his view on the China Precision Medicine Initiative. Then Prof. Daniel Sulivan from the Moffitt Cancer Center presented their practice of the precision medicine in the Oncology Research Information Exchange Network (ORIEN), which is a network of several major cancer centers in the US, with ultimate goals to provide evidence for decision-making and clinical care. Following these talks was the immunotherapy and chimeric antigen receptor T-cell (CAR-T) session. First, Prof. Steven Burakoff from Mount Sinai School of Medicine presented their work of identifying hematopoietic progenitor kinase 1 (HPK1) as a novel immunotherapy target Renier J. Brentjens from the Memorial Sloan Kettering Cancer Center, who leads one of the first teams conducting CAR-T therapy in the world, introduced their latest clinical trials on several cancers with diverse modifications of the therapeutic cells Cheng Qian from the Third Military Medical University shared their clinical practice with modified dendritic cells (DCs) and CAR-T on several cancer types. Then Prof. Chunrong Tong from the Lu Daopei Hematology Oncology Center introduced their experience on utilization of anti-CD19 CAR-T cells for refractory/relapsed b acute lymphoblastic leukemia. Next as a collaborator of Prof. Tong, Prof. Hongsheng Zhang from the Tongji University School of Medicine presented their translational research and clinical application of CAR-T therapy. Prof. Weidong Han from the Chinese PLA General Hospital then summarized their clinical practice of CAR-T cell therapy on both hematologic cancer and solid tumor Zhong Li from the Second Military Medical University talked about his perspective on cancer immunotherapy. At last, Prof. Xiubao Ren from the Tianjin Medical University Cancer Institute and Hospital summarized the overall clinical progress of CAR-T cells in cancer treatment.In the afternoon session on the first day (Sept 23), 11 speakers were invited to share their insightful opinions or brilliant work. Prof. Ying Wang, Secretary General of CACA, and Dr. Michael Wang from NFCR both introduced the contribution of academic societies in precision medicine. In her presentation, Dr. Wang introduced CACA, the role of CACA in cancer prevention and control, as well as the role of CACA in cancer precision medicine. Then Prof. Bruce Johnson from the Harvard Medical School and Dana Farber Cancer Institute gave his presentation about the impact of genomic changes on precision medicine for lung cancer BRAF, are the most common genomic changes in lung cancer. The Lung Cancer Mutation Consortium (LCMC) is planning analyses on these genomic changes and will establish a virtual database that may help doctors and researchers determine the frequency of certain mutations and explore opportunities for clinical trial enrollment. Prof. Toshifumi Wakai from Niigata University next introduced the genomic sequencing for optimal cancer treatment in gastrointestinal cancer. He and his group demonstrated concordance of CancerPlex with whole-exome sequencing from the TCGA in identifying hypermutated samples and microsatellite instability in multiple cancer types, such as colorectal and gastric cancers. They also highlighted the clinical utility of CancerPlex in guiding treatment strategies with targeted therapy in solid tumors, thus demonstrating how to harness the power of NGS in actualizing precision medicine. Prof. Mu-Sheng Zeng from Sun Yat-sen University presented his work on advances of basic and translational study of NPC. They found that expression of B lymphoma Moloney murine leukemia virus insertion region 1 homolog (Bmi-1) or human telomerase reverse transcriptase (hTERT), and knockdown of p16 enabled immortalization of nasopharyngeal epithelial cells (NPECs). Sphere-like culture of Bmi-1 immortalized cells supported high efficiency of cell-free infection of Epstein\u2013Barr virus (EBV), an oncovirus for NPC. They also demonstrated that RNA binding motif protein 24 (RBM24) played a role in NPC by modulating the stability of miRNAs and long non-coding RNAs. In the next talk, Prof. Andreas Keller from Saarland University focused on miRNAs and cancer. They found that blood-borne miRNAs were stable and powerful biomarkers for early diagnosis and companion diagnostics in cancer that are currently pushed from research to clinics. He also cautioned the biases present when measuring microRNA expression from different sources or using different platforms. These issues should be well appreciated and taken into account for translation into clinical practice. After the talk, there was a panel discussion co-chaired by Prof. Qiang Li from Tianjin Medical University Cancer Institute and Hospital and Prof. Xiaoming Zou from EOC Pharma, discussing the target therapies and drug development in the era of precision medicine.In the morning of Sept 24, Dr. Tuan Ha-Ngoc from KEW and Tom Miller from Greybird Ventures, respectively. In the following session chaired by Prof. Keller and myself, Zhimin Yang from Center for Drug Evaluation, China Food and Drug Administration, talked about issues that should be considered for development and evaluation of oncology products in the perspective of precision medicine. She illustrated her viewpoint on the model evolution of oncology product development, precision medicine, development of clinical innovation products, as well as the considerations for development and evaluation under the new model for precision medicine. Prof. Yi Zhao from Institute of Precision Medicine, CAS reported his work on big data platform construction under the China Precision Medicine Initiative, aimed to build the most complete genetic library of the Chinese population. The conference ended with a panel discussion co-chaired by Prof. Hao and Prof. Kucherlapati. Featuring the future of precision medicine in China, participants provided their comments to questions including (1) what technologies are for precision medicine; (2) how these technologies can impact the patient treatment today; (3) how to identify the right patients for new trials; (4) who are going to pay; and (5) what China can benefit from the lessons learnt in precision medicine projects in the US.In the afternoon session on the second day (Sept 24), the meeting started with two panel discussions about genetic testing for cancer and investments in precision medicine in China which were chaired by The conference ended successfully and has received numerous positive feedbacks from the participants. The conference provided a perfect chance for overseas and domestic scientists and physicians to communicate and share their understanding and practice of the Precision Medicine. Meanwhile the conference provided a productive platform for elite from the related fields to collaborate from decision making to drug development and investment. Other than the informative talks and insightful discussion, the conference organizers also made kind arrangements in having slides in both English and Chinese simultaneously with the live interpretation, making sure smooth communication.Given the emerging need of precision medicine in China, the conference introduced overseas system and practice of precision medicine into China as examples. Involvement of people with diverse roles in precision medicine from doctors, researchers, policy makers, industrialists to investors altogether would help to find answers or address specific concerns for China as raised during the conference, and hopefully result in a wider and deeper collaboration among different parties along the whole process of precision medicine for cancer clinical care."}
+{"text": "There are two key features in nanoparticle-based probes which are seldom found in traditional imaging probes: multimodality and multifunctionality. The use of, at least, two complementary imaging techniques like PET/MRI or MRI/Fluorescence and the possibility of incorporating several vectors on the surface and/or drugs expand the use of these probes. Furthermore, the properties of some nanoparticles can be used to create new imaging techniques, for example, the superparamagnetism of iron oxide nanoparticles for magnetic particle imaging.The combination of the size-dependent properties of nanomaterials with the noninvasive characterisation in molecular imaging is a powerful combination that is being successfully applied across disciplines. In the past ten years, we have witnessed the development of, literally, hundreds of nanoparticle-based probes for molecular imaging. All major imaging techniques have been enhanced by the use of nanoparticles, particularly magnetic resonance imaging (MRI), positron emission tomography (PET), and optical imaging. The use of iron oxide nanoparticles for TIn this issue, we have aimed to provide a platform for high-quality contributions on nanoparticles application to molecular imaging. Original papers and review articles focusing on the latest application of nanoparticle-based imaging probes were submitted. The topics treated include the application of iron oxides for MRI, for PET/MRI, and for drug delivery; new synthesis approaches to obtain magnetic nanoparticles-based contrast agents; polymeric nanoparticles for ultrasound imaging; new computed tomography (CT) contrast agents; and quantum dots for multiplex optical imaging. We received a total of 16 submissions, and after two rounds of rigorous review, 9 papers were accepted for publications in this special issue."}
+{"text": "This mini-review covers the newly developed biosensoristic and chemosensoristic devices described in recent literature for detection of contaminants in both environmental and food real matrices. Current needs in environmental and food surveillance of contaminants require new simplified, sensitive systems, which are portable and allow for rapid and on-site monitoring and diagnostics. Here, we focus on optical and electrochemical bio/chemosensoristic devices as promising tools with interesting analytical features that can be potentially exploited for innovative on-site and real-time applications for diagnostics and monitoring of environmental and food matrices . In near future, suitably developed and implemented bio/chemosensoristic devices will be a new and modern technological solution for the identification of new quality and safety marker indexes as well as for a more proper and complete characterization of abovementioned environmental and food matrices. Integrated bio/chemosensoristic devices can also allow an \u201cholistic approach\u201d that may prove to be more suitable for diagnostics of environmental and food real matrices, where the copresence of more bioactive substances is frequent. Therefore, this approach can be focused on the determination of net effect (mixture effect) of bioactive substances present in real matrices. Over the last few years, the abiotic contaminants levels in the environmental compartments and food increased to the point where they can cause potential human health effects due to exposure to chemical toxic substances. In particular, the interactions between environment and food supply chain that mainly occur at primary production level can cause serious both short- and long-term detrimental effects on human health.Environmental and food safety remains a major global challenge, in particular in developing countries, where socioeconomic status predisposes a large share of the population to a direct environmental-origin contamination and/or consumption of contaminated food products.To minimize the negative and dramatic impacts of chemical toxic substances of anthropic origin on environmental and human health, several focused actions are needed. For instance, promoting a sustainable use of chemicals and agrochemicals ; the development of toxicovigilance practices and systems and moreAgainst this background, such critical issues have produced a great demand for simplified, sensitive, and rapid screening methods , 3, withOn-site, cost-effective sensoristic devices capable of routine, sensitive, and selective detection of a range of targeted contaminants present in the environment and foods can be employed, for instance, to overcome time limitations and to reduce costs of sample collection and transport to laboratories, thus providing benefits for a rapid diagnostics and early corrective actions.For on-site diagnostics and environmental/food monitoring purposes, the application of standard and traditional analytical techniques is in contrast with the current need of rapid, cheap, easy-to-use, and portable devices .For these purposes, chemosensoristic and biosensoristic devices (herein collectively referred to as bio/chemosensoristic devices) are promising tools with interesting analytical features, which can be potentially exploited for on-site real-time applications, diagnostics, and screening for both environmental and food matrices. Such devices could be employed, e.g., to overcome existing limitations in measurements currently used in environmental and agro-food fields. While those measurements are mainly focused on the independent analyses of various parameters and analytes, complexity of environmental and food matrices requires a new holistic-like approach .For instance, regarding nutritional and toxicology characterization of foods, a broader modern vision based on the concept of \u201cwhole food\u201d is taking off , 5. Enviwww.alert2015.it), aims at developing the BEST prototype for industrial-scale production. Another new interesting approach for innovative monitoring and diagnostics of the environment and the agro-food supply chain is provided by a recent patented physicochemical sensing device called SNOOP \u201cas a whole,\u201d integrated analyses of physical, chemical, and biological parameters through sensoristic devices could be more suitable. The multichannel platform BEST is a HACed SNOOP . SNOOP ian integrated receptor\u2013transducer device, which is capable of providing selective quantitative or semiquantitative analytical information using a biological recognition element) . In particular, biosensors or biosensoristic devices (element) hold proaminants , 11.A recent review on key research interests in the development of biosensors in South Africa has highlight a particular interest on the development of electrochemical biosensor due to low fabrication and analytical equipment costs, in particular, for pesticides and heavy metals detection. Other research areas include nanotechnology, identification and validation of biomarkers, and development of biorecognition agents (antibodies and aptamers) and new biosensor design approaches .In recent literature, enzymes \u201315 and wRegarding electrochemical devices, they possess unique features to address the challenges of field and on-site analytical chemistry: possibility of miniaturization and portability, sensitivity, selectivity, a wide linear range of detection, minimal power requirement, and cost-effective instrumentation. Voltammetry is one of the most widely used electroanalytical techniques for electrochemical detection in bio/chemosensoric devices . In fact, various voltammetric techniques possess intrinsic analytical advantages and features and included excellent sensitivity, rapid analysis times, and possibility of simultaneous determination of different analytes. In voltammetric pulse techniques, through different modulation of the applied potential, a higher speed of measurement and sensitivity (useful for determination of species at trace levels) can be achieved. In particular, differential pulse voltammetry and square-wave voltammetry have been extensively described in the recent literature for detection of various chemical contaminants in environmental samples , 30\u201335. The recent interest in optical biosensoristic devices for food analysis, with fluorescent, bioluminescent or chemiluminescent labels for detection, as well as the direct (label-free) detection , 55, is Actually, biosensoristic devices based on SPR are ideal platforms for the label-free detection of molecular monolayers as they allow for qualitative and quantitative multiplexing measurements of biomolecular interactions in real-time without requiring a labeling procedure in the framework of food safety , 58.Indeed, by using SPR-based immunosensors, one can obtain robust and quantitative results with narrow- or broad-spectrum specificity in relatively short time. In the case of milk, SPR circumvents the issues related to turbidity and protein fouling by measuring the refractive index modulation on the reverse side of the metal film where the biological selective element is immobilized , 59.Since late 90s, SPR biosensoristic devices have become the main tool for the study of biomolecular interactions in life science, with successful applications in the field of food safety .Although there are great advantages of the SPR technology, some disadvantages are evident: high cost of the readout instrumentation and a still high cost of the consumables (sensing chip and reagents) and large instrumentation footprint.In recent years, nanoplasmonics has shown a great potential in overcoming the technological/commercial limits of SPR and for The development of advanced photonic biosensoristic devices has to be brought beyond the state of the art of the point-of-care-diagnostic systems by the synergetic integration of the different technological building blocks with consequent improvement of the single-component outputs. Moreover, the introduction of outperforming light-excitation/detection scheme allows for unraveling the potentiality of the sensor in terms for disposability, reliability, miniaturization, and multiplexing while providing laboratory quality analysis .Within the current point-of-care diagnostic market, there is a limited number of systems that operate without the requirement for a dedicated desktop reader, and there are no quantitative, portable diagnostic platforms with multiple detection methods. The components from existing laboratory equipment are too bulky, fragile, and expensive and require too much mechanical integration to be consolidated into a point-of-care device .Miniaturization (from microelectrodes/nanosensors to microfluidic platforms) is an increasing trend as a response to these needs to develop new miniature and portable analytical devices for environmental and food monitoring and diagnostics.In this scenario, LOC devices have shown themselves to be highly effective for laboratory-based research, where their superior analytical performance has established them as efficient tools for complex tasks and a promising tools for a number of environmental monitoring applications, i.e., continuous surveillance of selected parameters and contaminant concentrations and for However, to date, they have not been well suited to point-of-care or in-the-field applications: although the chips themselves are cheap and small, they must generally be used in conjunction with bulky optical detectors, which are needed to identify or quantify the analytes or reagents present. Furthermore, most existing detectors are limited to analysis of a single analyte at a predetermined location on the chip. The lack of an integrated, multiplexing, and fast detection scheme is a major obstacle to the deployment of diagnostic devices in the field. This issue has prevented the development of more complex tests where rapid, kinetic, or multipoint analysis is required.Development of improved electrochemical and optical bio/chemosensoristic devices represents a technological challenge to broaden boundaries of field diagnostics and monitoring environmental and food samples. In particular, specific improved features of integration, portability , cheapness, simplification of experimental protocols (less time- and labor-demanding protocols), and development of efficient high-throughput approaches are required. Concerning LOC devices, fast detection scheme and the ability to monitor at multiple locations on the chip could ensure a high selectivity and sensitivity for the analyte of interest. All these devices could be employed for the identification of new quality and safety marker indexes in real matrices as well as for the determination of mixture effects of bioactive substances.All authors have made equal contributions in the writing and revising of this mini-review.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "The blood-brain barrier (BBB) is a complex network of microvasculature, comprised primarily of brain microvascular endothelial cells (BMECs), astrocytes, and pericytes, which regulates cellular, macromolecule, and metabolite passage between the peripheral circulation and the central nervous system (CNS). Damage to the BBB has been linked to neurocognitive deficits sustained in multiple diseases, including stroke, Alzheimer's Disease, and numerous infections, including human immunodeficiency virus type 1 (HIV-1) have not yet been reported in detail.Numerous in vitro and in vivo -7-(t-butyl)-pyrazolopyrimidine (PP2) in rats subjected to ischemic insult resulted in the rescue of ischemic BBB leakage exposed to vascular endothelial growth factor , and a C-terminus bearing the inhibiting tyrosine site (Y529) and thus generates nitric oxide (NO). This leads to an induction of the S-nitrosylation of c-Src, which then promotes the auto-phosphorylation of c-Src at the activating tyrosine (Y416), which further phosphorylates the NR2A subunit of NMDAR alter the repair of the BBB and whether the regulation of c-Src is at the center of this question is an open area of significant research to understanding the mechanisms that underlie HIV-1 neuropathogenesis and HAND , the National Institute of Drug Abuse , National Institute of Mental Health , Comprehensive NeuroAIDS Center (CNAC) , and under the Ruth L. Kirschstein National Research Service Award T32 MH079785 . The contents of the paper are solely the responsibility of the authors and do not necessarily represent the official views of the NIH. MN was also supported by faculty development funds provided by the Department of Microbiology and Immunology and the Institute for Molecular Medicine and Infectious Disease.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "This study targets the lesser-known ingredients of smokeless tobacco products, i.e., the toxic metals, in Indian brands. The metals selected in the study included lead (Pb), cadmium (Cd), arsenic (As), copper (Cu), mercury (Hg), and selenium (Se). The differential pulse anodic stripping voltammetry (DPASV) technique was used for estimating the metals Pb, Cd, and Cu; square wave voltammetry for As; and the cold vapor atomic absorption technique for Hg. The resulting levels of the metals were compared to the daily consumption of the smokeless tobacco products. It was observed that almost 30% of gutkha brand samples exceeded the permissible levels of metals Pb and Cu, when compared to the provisional tolerable intake limits determined by the FAO/WHO. The reliability of data was assured by analyzing standard reference materials."}
+{"text": "Intrinsically Disordered Proteins (IDPs) lack a stable, three-dimensional structure under physiological conditions, yet they exhibitnumerous biological activities. Protean segments (ProSs) are the functional regions of intrinsically disordered proteins that undergodisorder-to-order transitions upon binding to their partners. Example ProSs collected from the intrinsically disordered proteins withextensive annotations and literature (IDEAL) database. The interface of protean segments (ProSs) is classified into core, rim, and support,and analyzed their secondary structure elements (SSEs) based on the relative accessible surface area (rASA). The amino acid compositionsand the relative solvent accessible surface areas (rASAs) of ProS secondary structural elements (SSEs) at the interface, core and rim werecompared to those of heterodimers. The average number of contacts of alpha helices and irregular residues was calculated for each ProSand heterodimer. Furthermore, the ProSs were classified into high and low efficient based on their average number of contacts at theinterface. The results indicate that the irregular structures of ProSs and heterodimers are significantly different. The rASA of irregularstructures in the monomeric state (rASAm) is large, leads to the formation of larger \u0394rASA and many contacts in ProSs. An intrinsically disordered protein (IDP) is a protein that isdisordered (as a whole or in part) in the unbound state andundergoes a disorder-to-order transition upon binding to theirpartners ,2,3. TheProtean segments (ProSs) are the functional regions of intrinsicallydisordered proteins that undergo disorder-to-order transitionsupon binding to their partners ,11,12. The goal of this work is to investigate the properties of secondarystructure elements (SSEs) at the interface of ProSs relative to thoseof heterodimers. The interfaces of ProSs and heterodimers were classified into the core, rim, and support based on their relativesolvent accessible surface area (rASA) . The aveAll ProSs (210) in 70 protein sequences were collected from theIDEAL database (as of August 2013) ,12. If mA non-redundant dataset of 276 heterodimers was selected from theProtein Data Bank (PDB) , using tThe program DSSP was usedThe propensities of amino acids are represented as the Chou\u2013Fasman parameters , CF were discarded from this classification. Several propertieswere analyzed for each high and low efficient ProSs (See Resultsand Discussion). The datasets contain 11 and 14 ProSs for high andlow efficient, respectively . The radWilcoxon rank-sum test was performed by RStudio to calcuThe secondary structure assignments for each of the ProS andheterodimer interface were determined by the DSSP program .This anThe amino acid propensities of the different secondary structureelements (SSEs) for ProSs vs.heterodimers were examined. The Chou\u2013Fasman parameters for alphThe core residues at the interface are the hydrophobic residues,generally in the central region of the interface, and play animportant role in the interaction. The rim residues are the polarresidues, located on the outer edges of the interface. The supportresidues represent the intersection between the interior and theinterface .Previous studies have been indicated that the ProS interface can bein contact with a larger number of residues of the interactionpartners compared with the heterodimer interface ,29. ToeOur previous study showed that the average \u0394rASA correlates wellwith the average number of contacts in ProSs . \u0394rASA oBased on the average number of contacts at the interface, the ProSswere classified into high and low efficient ProSs (See Methods). Toexamine the properties of high efficient ProSs, several factors, suchas average rASAm, average rASAc, average \u0394rASA, rate of theinterface, rate of the core, rate of the rim, radius of gyration (Rg), and length of the ProSs for each high and low efficient ProS wereanalyzed. Boxplots of the distributions of high and low efficientProSs are shown in The radius of gyration is used to describe the compactness of aprotein, as well as the folding process from the denatured state tothe native state ,31. The The properties of secondary structure elements (SSEs) at theinterface, core, and rim of ProSs were analyzed relative to those ofheterodimers. The results demonstrate that irregular structures ofProSs and heterodimers are significantly different. Irregularstructures have a larger rASA in the monomeric state (rASAm) thatleads to the formation of many contacts in ProSs."}
+{"text": "As tick-borne diseases are on the rise, an international effort resulted in the sequence and assembly of the first genome of a tick vector. This result promotes research on comparative, functional and evolutionary genomics and the study of tick-host-pathogen interactions to improve human, animal and ecosystem health on a global scale. Ticks are obligate blood-feeding arthropod ectoparasites that are distributed worldwide and one of the most important vectors of pathogens affecting humans and animals and funded by the National Institute of Allergy and Infectious Diseases, National Institutes of Health. Annotation for this assembly was produced in a joint effort between JCVI and VectorBase (https://www.vectorbase.org/) with support from The Broad Institute (Gulia-Nuss et al., More recently, a global consortium of 93 scientists described the 2.1 Gbp nuclear genome of the black-legged tick, I. scapularis project proved challenging due to the large size and high repeat content of the genome. However, the results show the assembly and description of features associated with ~57% of the genome. As the only assembly available for a tick, the I. scapularis genome constitutes an invaluable reference for comparative genomic analyses, including resolution of phylogenetic relationships within the diverse phylum Arthropoda. Analysis of the I. scapularis genome revealed new features that may be unique to this organism and with important implications for future research. Highlights include the identification of two new repeat elements, a large-scale gene duplication event that likely occurred ~40 MYA coinciding with tick radiation, gene exon-intron structures more closely resembling that of an ancient protostome/deuterostome ancestor than of extant arthropods examined to date, an expansion of Kunitz domain proteins and other proteins implicated in tick blood feeding, possible remnants of a heme synthesis pathway contrasting with an expansion of heme carrier and storage proteins. Also identified were orthologs for at least 39 invertebrate neuropeptides and neuropeptide receptor genes that are believed or known to regulate tick diuresis, ecdysis, cuticle synthesis, blood feeding and reproduction. The genome contains one of the largest expansions of cytochrome P450 genes known for sequenced arthropods, suggesting potential for rapid development of acaricide resistance in ticks, and it will be important to explore the families of candidate acaricide targets uncovered by genome analyses, the de-orphanisation of which is underway.The I. scapularis genome sequence and annotation also contributed to the characterization of the transcriptome in related tick species such as I. ricinus (Genomic Resources Development Consortium et al., I. scapularis and other tick species, and extend genome analyses were described based on the publication of the I. scapularis genome sequence (e.g., Cabezas-Cruz et al., I. scapularis genome also provides a key reference for comparative genomics with other Parasitiformes like the western orchard predatory mite (Hoy et al., The first genome-wide population genomics study suggested genetic variation between ticks from Lyme prevalent northern and mid-western states compared with southern states in the U.S., paving the way for identification of genes tied to vector competence (Gulia-Nuss et al., I. scapularis genome sequence and assembly on these studies (Figure Anaplasma phagocytophilum, the causative agent of HGA (Ayll\u00f3n et al., A. phagocytophilum and the encephalitis-causing Langat virus (Grabowski et al., Recent results on the characterization of tick-host and tick-pathogen interactions highlighted the impact of s Figure . TranscrI. scapularis genome provide insights into parasitic processes unique to ticks, including host \u201cquesting,\u201d prolonged feeding, cuticle synthesis, blood meal concentration, novel methods of hemoglobin digestion, heme detoxification, vitellogenesis, reproduction, oviposition, prolonged off-host survival and host-tick-pathogen interactions. The I. scapularis gene models will advance research on comparative and functional genomics, while the assembly and physical map will underpin much needed studies of tick genetics. Recent efforts addressed the need for additional tick genomic resources by focusing on tick species relevant for human and animal health (Guerrero et al., The features discovered in the All authors listed, have made substantial, direct and intellectual contribution to the work, and approved it for publication.I. scapularis genome.The National Institutes of Health, the National Institute of Allergy and Infectious Diseases and the U.S. Department of Health and Human Services provided principle funding for the sequence and assembly of the The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "The interdisciplinary studies between neuroscience and computer science have greatly promoted the development of these two fields. The achievements of these studies can help humans understand the essence of biological systems; provide computational platforms and intelligent methods for biological experiments; and improve the intelligence and performance of the algorithms in computer science.We present 10 papers in this research topic, which are mainly focused on neural mechanisms underlying the perception of vision, motor and pain; computational modeling of visual processing; bio-inspired visual models; and novel machine learning algorithms to reliably predict pain.As our dominant sense, the ultimate purpose of visual processing is to support us in perception, cognition, learning, and activities.Perry et al.) gives a brief review of alterations in visual processing near hand, which supports the hypothesis that there exist parallel, and separate, effector-based attentional systems. Whereas the oculomotor system enhances visual responses through gain modulation, and near-hand attention system sharpens features (such as orientation) relevant to reaching and grasping. This article provides a potential structure for visual-motor interaction modeling in bio-inspired imitation learning.One article on visual processing near hand. The authors analyzed the functions of neurons in VisNet model through a biologically plausible process of unsupervised competitive learning and self-organization both with realistic and natural images. The experiments showed that individual output cells of the network could develop single, localized, hand-centered receptive fields which are invariant to retinal location. Eguchi et al. modified VisNet to model the neural representation of object shape in the primate ventral visual system. By unsupervised visually-guided learning, the individual neurons show similar firing properties with V4 and TEO. The neurons in the higher layer of the network could learn to respond to localized boundary contour elements and show translation invariance across different retinal locations through the use of a trace learning rule.The work of Both of these two computational modeling methods simulate the principles and mechanisms of the visual pathway, and may inspire the future work in bio-inspired visual modeling for image processing applications.Li et al. proposed an enhanced HMAX model for image categorization. By mimicking the attention modulation, memory processing and feature encoding mechanisms of visual cognition, a bottom-up saliency map, an unsupervised iterative clustering method and multi-feature fusion method are introduced to the HMAX model. The enhanced bio-inspired model with small memory size showed better accuracy than other unsupervised feature learning methods in Caltech101 dataset. Fu et al. proposed an CNN model for feature construction in text analysis. By modifying the CNN model to adapt to the text inputs, introducing similarity of asker-answer information as attention modulation, and bringing in reputation information to imitate memory, the improved CNN model showed better performance in answer recommendation task.Galeazzi et al.; Eguchi et al.), these two bio-inspired visual models had excellent performance in public datasets focusing on computer science application, which shows that biological research can promote the development of computer science.Different from the computational modeling of visual processing . In addition, Li et al. investigated the effects of placebo analgesia on spontaneous brain oscillations during tonic muscle pain. They observed that placebo-induced decreases in the subjective pain perception significantly correlated with the increases of the amplitude of alpha oscillations, which suggested that alpha oscillations in frontal-central region could serve as the cortical indicator of placebo effect on tonic muscle pain . Finally, Peng and Tang provided a comprehensive summary of the functional properties of pain-induced modulations of ongoing cortical oscillations. In addition to the traditional methods, they proposed that novel approaches should be adopted to comprehensively explore the dynamics of oscillatory activities associated with pain perception and behavior. Based on these understandings, Peng and Tang pointed out the potential clinical applications of neurostimuation techniques and transcranial alternating current stimulation (tACS)) based on the modulation of pain-related cortical oscillations, which could help promote the establishment of rational therapeutic strategy in the framework of intelligent systems.Three articles provide recent advances to better understand the neural mechanism related to the central processing of pain perception. Bai et al. observed that pain-evoked EEG responses were significantly correlated with spontaneous EEG activities at interindividual level, and proposed a normalization approach to reduce the interindividual variability of pain-evoked EEG responses based on the spontaneous EEG activities for each subject. In addition, Bai et al. found that the relationship between pain-evoked EEG responses and pain perception was nonlinear, which inspired them to develop a novel two-stage pain prediction strategy, a binary classification of low-pain and high-pain trials followed by a continuous prediction of high-pain trials to significantly improve the prediction accuracy . From a different aspect, Tu et al. provided evidences showing that the joint use of both pre-stimulus ongoing and post-stimulus evoked EEG/fMRI activities could significantly improve the performance of pain prediction compared to using just post-stimulus evoked brain responses. Both studies shed new lights on the development of novel algorithms that could improve the prediction accuracy based on functional neuroimaging signals.Two articles in this Research Topic developed novel techniques to improve the performance of pain prediction based on non-invasive functional neuroimaging signals. Taken together, this research topic provides a series of work in the interdisciplinary studies of vision, motor and pain. The biological findings and models of the topic could inspired the future studies both in biology and computer science.HQ and LH are the organizers of the research topic \u201cEditorial: Modeling of Visual Cognition, Body Sense, Motor Control and Their Integrations.\u201d For this editorial, we discussed and built the outline together. HQ was in charge of Section 1, 2 and 3 and the figure. LH was in charge of Section 4, 5. Both of the authors commented on the manuscript.HQ was supported by the National Natural Science Foundation of China , the Beijing Municipal Science and Technology Commission , and the Strategic Priority Research Program of the CAS (No. XDB02080003). LH was supported by the National Natural Science Foundation of China and the Scientific Foundation project of Institute of Psychology, Chinese Academy of Sciences (No. Y6CX021008). The funders had no role in study design, decision to publish, or preparation of the manuscript. The authors have declared that no competing interests exist.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "The environmental sources and behaviors of chlorinated 2- to 5-ring polycyclic aromatic hydrocarbons (ClPAHs). ClPAHs are ubiquitous contaminants found in urban air, vehicle exhaust gas, snow, tap water, and sediments. The concentrations of ClPAHs in each of these environments are generally higher than those of dioxins but markedly lower than the concentrations of the parent compounds, PAHs. Environmental data and emission sources analysis for ClPAHs reveal that the dominant process of generation is by reaction of PAHs with chlorine in pyrosynthesis. This secondary reaction process also occurs in aquatic environments. Certain ClPAHs show greater toxicity, such as mutagenicity and aryl hydrocarbon receptor activity, than their corresponding parent PAHs. Investigation of the sources and environmental behavior of ClPAHs is of great importance in the assessment of human health risks."}
+{"text": "Overall Abstract: Alastair Campbell, talking from personal and family experience, and based on years of campaigning and study, urges a rethink of how we view mental health and mental illness."}
+{"text": "In recent years, the incidence of severe infectious diseases has increased, and the number of emerging infectious diseases continues to increase. The Chinese government and military forces have paid a great deal of attention to infectious disease prevention and control, and using military-civilian cooperation, they have successfully prevented numerous severe epidemic situations, such as severe acute respiratory syndrome (SARS), influenza A (H1N1), avian influenza H5N1 and H7N9, and Ebola hemorrhagic fever, while actively maintained public health, economic development, and national construction. This paper focuses on the mechanisms of the military-cooperative emergency response to infectious diseases--the joint working mechanism, the information-sharing mechanism, the research collaboration mechanism, and the joint disposal mechanism--and presents a sorted summary of the practices and experiences of cooperative emergency responses to infectious diseases. In the future, the Chinese military and the civilian sector will further strengthen the cooperative joint command system and emergency rescue force and will reinforce their collaborative information-sharing platform and technical equipment system to further improve military-civilian collaborative emergency infectious diseases disposal, advance the level of infectious disease prevention and control, and maintain public health. In recent years, the prevalence of severe infectious disease has increased, and the number of emerging infectious diseases continues to increase . The ChiThe military-civilian collaborative emergency response to infectious diseases refers to the integration of military and government strengths and resources during a certain time period and range, according to the principles of unified command, resource sharing, and close cooperation, in order to solve and jointly respond to epidemic outbreaks of infectious diseases, minimize harm to human health, and maintain social stability .In 2004, the Chinese government disseminated \u201cthe Law of the PRC on the Prevention and Treatment of Infectious Diseases,\u201d which clearly defined many aspects of infectious diseases, such as epidemic reports, epidemic situation control, medical rescue, supervision and management, guarantee measures, and legal liability, among others; this law provides a legal basis for effectively preventing and eliminating infectious disease occurrence and prevalence and guarantees the health and hygienic safety of the public. The general principle of this law clearly stipulates that military prevention and control of infectious diseases should be consistent with the law and relevant national provisions . MoreoveUnder the unified leadership and overall deployment of the nation and the military, the collaborative emergency response mechanism of military-civilian integration and efficient linkage has been established, and it develops a pattern of complementary advantages and efficient collaboration as well as rapidly improves national and military infectious disease prevention and control \u201316. For The nation has established a joint working mechanism among different departments, and this mechanism indicates that each department is responsibility for itself, coordinates with the other departments, and jointly implements the prevention measures under central unified leadership. The military joint prevention and control came into effect by the unified leading, joint supervision, persevering management, and workforce formation of medical treatment, health, publicity, and rear service among multiple departments. The military and the civilian sector cooperated often and closely, establishing the joint working mechanism; for example, military experts were appointed to participate in leading expert groups for joint prevention and controlled response to emergency events and in the formulation of relevant policies, regulations, and professional documents. Meanwhile, the military\u2019s working progress was reflected over time, and the military-civilian coordination and communication mechanism was constructed.An epidemic information report and sharing mechanism has been established. Multiple tasks, such as information report development, joint notification and report release, and joint research on case diagnoses and epidemic announcements, are undertaken daily. The epidemic data from local disease control and prevention institutions are shared nationwide in a timely manner using similar procedures and the epidemic report channel, which establishes the collaborative surveillance and forewarning mechanism that discovers early epidemic outbreaks and provides strong technical support so that prompt and effective military-civilian control measures can be taken.Once an epidemic situation has occurred, the military immediately initiates the emergency research mechanism, sets up rapid research channels, and deploys emergency research tasks to scientific research institutions. In the meantime, the national and military disease control and prevention systems immediately integrate scientific research, organize scientific problem-solving measures, collaboratively establish research and development engineering projects, and jointly develop detection reagents and drug-resistant vaccines in response to outbreaks and the prevalence of infectious diseases. These actions can prevent and control epidemic situations.According to the national statement on epidemic information and the national strategy for prevention and control, epidemic prevention and control are jointly deployed at all military-civilian levels, the infection source and close contacts are traced over time, medical quarantine is carefully carried out, and personnel screening and medical observation are put into practice. Military experts and military disease control and prevention institutions at all levels, who are obligated to execute these plans due to national requirements, should actively participate, following the laboratory test index, outbreak investigation program, and clinical treatment standards. In addition, the military is also required to participate in the emergent disposal of local epidemic outbreaks; successful past experiences that resulted in preferable public effects can be attributed to the army.The government and the military have always attached great importance to infectious disease prevention and control. After the SARS epidemic, the country rapidly intensified construction of its public health system, effectively controlled the spread of several severe epidemic situations, and showed the strong capability of the military-civilian collaborative emergency response, relying heavily on the national military system. This was especially evident when the Ebola epidemic outbreaks occurred in West Africa in 2014; China was the first to lend a helping hand, sending approximately 1,200 military-civilian medical and health personnel to carry out laboratory tests, make diagnoses, provide treatment and public health training, and build a biological safety laboratory for the affected countries. This is the largest healthcare foreign-aid action of a military-civilian collaborative emergency response since the founding of new China . The maiThe primary principles of the military-civilian collaborative emergency response are unified command, graded responsibilities, and resident management. By establishing a unified national and military command organization, the comprehensive coordinative command of the military, police, and people was implemented; scientific and effective emergency decisions were made; institutional and functional orientations at all levels were defined; emergency power from all fields was motivated and coordinated for joint participation; unblocked government decree was ensured; and an advantageous configuration of resource integration was achieved.To effectively address severe epidemics, the government and military formulated several laws, regulations, policies, strategic development plans, joint action programs, emergency safety measures, and various types of operable emergency predetermined plans; clearly defined the division of duties and transactions; established an assessment mechanism for military-civilian joint epidemic situations and a docking mechanism for military-civilian relevant departments; and jointly improved the ability to respond to infectious disease emergencies.By using network and communication technologies, an information-sharing mechanism was established and characterized by directional coverage and frequent communication, and a military-civilian collaborative management platform for emergency rescue that can acquire real-time epidemic information, quick responses, and integrated linkage of emergency epidemic situations was built. After the Wenchuan earthquake in 2008, an epidemic reporting system was established based on the mobile network, which greatly improved the capability of the military-civilian collaborative emergency response.Military emergency prevention and control provides important support for not only the military itself but also national missions, such as emergency disposal during public health emergency events, major activity security, and major domestic and overseas disaster rescue. Since 2009, the Military Emergency Medical Rescue Team, the Emergency Epidemic Prevention Team, the anti-Nuclear, Chemical, and Biological (anti-NBC) Medical Field Rescue Team; and the Veterinary Health, Prevention and Control Team have all been included in the national emergency system, which can greatly enhance the capacities of military-civilian collaborative emergency rescue, prevention, and control.In recent years, the national health department has taken the lead and constructed multi-department cooperation, including a health emergency work mode for joint prevention and control that involves the military and coordinates the linkage and efficient decision-making across departments and regions . A serieAlthough the Chinese military-civilian emergency collaboration has accomplished certain achievements regarding prevention and control of infectious diseases, there are still many problems with the collaborative organization and command, professional power construction, equipment performance level, and emergency theory research, which can be solved by establishing a deep civil-military integration mechanism . ChineseThis paper focuses on the mechanisms of the military-cooperative emergency response to infectious diseases--the joint working mechanism, the information-sharing mechanism, the research collaboration mechanism, and the joint disposal mechanism--and presents a sorted summary of the practice and experience of the cooperative emergency response to infectious diseases. The Chinese military and the civilian sector will further strengthen the military-civilian collaborative joint command system and emergency rescue, reinforce the military-civilian collaborative information-sharing platform and technical equipment system, develop theoretical research on the military-civilian collaborative emergency response, enhance the training and modular exercises of the emergency teams, and strengthen the measures for epidemic information sharing, technical cooperation, disposal linkage, and integral prevention and control, which may further improve military-civilian collaborative emergency disposal, promote infectious disease prevention and control, and maintain public health."}
+{"text": "This paper reviews the current research on the speciation and determination of mercury by various analytical techniques, including the atomic absorption spectrometry (AAS), voltammetry, inductively coupled plasma optical emission spectrometry (ICP-OES), ICP-mass spectrometry (MS), atomic fluorescence spectrometry (AFS), spectrophotometry, spectrofluorometry, and high performance liquid chromatography (HPLC). Approximately 96 research papers on the speciation and determination of mercury by various analytical instruments published in international journals since 2015 were reviewed. All analytical parameters, including the limits of detection, linearity range, quality assurance and control, applicability, and interfering ions, evaluated in the reviewed articles were tabulated. In this review, we found a lack of information in speciation studies of mercury in recent years. Another important conclusion from this review was that there were few studies regarding the concentration of mercury in the atmosphere. Mercury is the only metal that exists in a liquid state among the elements in our modern periodic table. Determination and speciation studies of mercury attract researchers because of the toxicity of mercury to humans, as well as to other animals in the food web. The difference between the toxicity of mercury and that of other metals is that mercury easily accumulates in organisms. A few studies have reported bioaccumulation of mercury in various aquatic animals, such as fishes, pelagic seabirds, and earthworms \u20139.This section describes the sources and fate of mercury in the environment and its toxicity.Mercury can enter the environment from natural and/or anthropogenic sources. Natural sources of mercury include volcanoes, forest fires, cinnabar (ore), and fossil fuels, such as coal and petroleum. Anthropogenic sources are numerous; a large number of human activities are responsible for mercury deposition in the environment. Anthropogenic sources of mercury are landfills, dental preparations, and combustion processes, such as coal-fired power generation, medicinal waste incinerators, and municipal waste combustion. Manufacture of metals, alkali, and cement also releases mercury into the environment . AnthropXu et al. revealedResearchers determine the concentration of mercury in environmental segments because of its toxic nature. Numerous journal articles have been published regarding the toxicity of mercury and its different forms. Yoshida et al. reportedPlants are exposed to mercury compounds through the administration of antifungal agents. The toxicity of mercury affects seed germination, growth, and development in higher plants. It also causes the breakdown of photosynthesis by affecting chlorophyll and magnesium molecules . MercuryIn this present study, we reviewed speciation and determination studies of mercury in different environmental samples using various analytical techniques, including the atomic absorption spectrometry (AAS), voltammetry, inductively coupled plasma optical emission spectrometry (ICP-OES), ICP-mass spectrometry (MS), atomic fluorescence spectrometry (AFS), spectrophotometry, spectrofluorometry, and high performance liquid chromatography (HPLC). Over 96 research papers published since 2015 in reputable international journals were reviewed. This review clearly summarizes the current research on speciation and determination studies of mercury from locations worldwide.The toxic nature of mercury and its different species encourage researchers to determine their concentrations in different environmental samples. Recently, a number of reviews were published concerning the determination of mercury, which described various factors regarding the concentrations of mercury in the environment. This section summarizes recent reviews of the determination of mercury.Hanna et al. reviewedColorimetric and visual assay determination of Hg(II) based on gold nanoparticles, fluorescent gold nanoparticles, gold nanorods, gold nanoflowers, and gold nanostars was reviewed by Chansuvarn et al. . They reJagtap and Maher reviewedIn recent years, a large number of research articles were published regarding the determination and speciation of mercury using various analytical techniques. We have divided this section into four parts based on the analytical techniques used in the determination of type and levels of mercury. They are (i) spectrometric techniques , (ii) electrochemical techniques (voltammetry and potentiometry), and (iii) miscellaneous techniques.The determination and speciation of mercury using spectrometric techniques, such as AAS, AFS, ICP-OES, ICP-MS, spectrophotometry, and spectrofluorometry are presented in Regarding the usage of analytical techniques in the determination studies of mercury, as presented in The analytical variables of merit, such as limits of detection and linearity, quality control and assurance studies, applicability to natural samples, and interference, are indicative of the validity of the method. Detection limit indicates the lowest level of analyte that can be detected using the method. A few studies \u201351 reporTwo very important analytical parameters, in the determination of mercury, are quality assurance (QA) and quality control (QC). The validity and reliability of the data produced by the researchers depend on the quantification of these variables. Quality assurance studies can be performed by testing the accuracy of the data obtained against standard reference materials (SRMs) provided by the National Institute of Standards and Technology or certified reference materials (CRMs) provided by various reputable institutes or organizations. Quality control can be determined by measuring the precision of the data (repeatability and sensitivity) obtained by each method. The precision of the data can be obtained in many ways, such as the analysis of replicates, interlab comparison of data, and relative standard deviation (RSD) of blank or standard material analysis . RegardiThe validity of analytical methods can be enhanced by applicability to natural samples. Regarding the analysis of natural samples, most of the reviewed papers analyzed water samples, such as those from rivers, lakes, seas, groundwater, and spiked water and wastewater. Following water samples, the most frequently analyzed material for mercury was seafood samples, such as fish, shrimp, and seaweed. A few studies reported the determination of mercury in various environmental samples, such as petroleum hydrocarbons , human hAnother important aspect of analytical parameters of the methods is interference. Interference of other ions in the determination of mercury levels is very important, particularly when those methods are applied to the analysis of natural samples. Natural samples are typically a complex of different ions; the selectivity of the method is very important in the determination of mercury in environmental samples. In this respect, electrochemical methods had a higher degree of selectivity and did not suffer from interference from other ions. Determination of the level of interference was not performed by a large number of authors , 102\u2013106Toxicity of mercury depends upon its chemical form. For example, methylmercury is more toxic than inorganic mercury. Speciation studies revealed the exact toxicity of mercury in environmental samples. However, very few authors , 92, 107The present study reviewed research articles published in recent years (2015-2016) involving determination and speciation of mercury using various analytical instruments. Approximately 100 research papers were reviewed and all the analytical parameters established in their studies were tabulated. Our study concluded that most of researchers used spectrometric instruments for the determination of mercury in different environmental samples. We addressed the quality of the data based on reported QA and QC data by the authors. Another important finding from this review was that most researchers measured inorganic mercury or total mercury, whereas only a few reported speciation of mercury. Speciation studies are very important in the accurate prediction of the toxicity of the mercury in the environment because mercury toxicity depends on its chemical form. Because of the difficulty in sampling and analysis, most researchers did not report the concentrations of mercury in the atmosphere. We conclude by stating that speciation studies and the determination of mercury in the atmosphere should receive greater attention in the future."}
+{"text": "Crocus sativus L.) is a crop species cultivated for its flowers and, more specifically, for its red stigmas. The flower of crocus is bisexual and sterile, since crocus is a triploid species. Its perianth consists of six petaloid tepals: three tepals in whorl 1 and three tepals in whorl 2 . The androecium consists of three distinct stamens and the gynoecium consists of a single compound pistil with three carpels, a single three-branched style, and an inferior ovary. The dry form of the stigmas constitutes the commercial saffron used as a food additive, in the coloring industry, and in medicine. In order to uncover and understand the molecular mechanisms controlling flower development in cultivated crocus and its relative wild progenitor species, and characterize a number of crocus flower mutants, we have cloned and characterized different, full-length, cDNA sequences encoding MADS-box transcription factor proteins involved in flower formation.Crocus and its modification named familyRCA-RACE (famRCA-RACE). Furthermore, the characteristics of the protein structure and their common and specific domains for each type of MADS-box transcription factors in this lower nongrass monocot belonging to the Iridaceae family are described. Finally, a phylogenetic tree of all the MADS-box sequences available in our lab is presented and discussed in relation to other data from studies of species of the Iridaceae group and closely related families from an evolutionary perspective. The structural and phylogenetic analyses are based on both published and unpublished data."}
+{"text": "Disturbances in cognitive function, particularly memory, are a common complaint of patients with epilepsy. Factors contributing to cognitive dysfunction are the type of epilepsy, type and frequency of seizures, anti-epileptic drugs and the location of underlying brain lesions. Whilst a great deal of attention has been paid to permanent cognitive impairment, the nature and underlying mechanisms of ictal and peri-ictal cognitive changes are poorly understood. In-depth investigation of seizure related cognitive dysfunction is of great clinical relevance, as these changes are potentially reversible and treatable, thus reducing the cumulative effect of frequent seizures Greater knowledge of peri-ictal and ictal cognitive dysfunction would improve seizure prediction, localization of seizure focus and assessment of treatment effectiveness, greatly reducing distress and disability. This paper will review current understanding of peri-ictal and ictal cognitive dysfunction and discuss future directions for research."}
+{"text": "In the elderly, fear of falling (FoF) can lead to activity restriction and affect quality of life (QoL). Our aim was to identify the characteristics of FoF in Parkinson's disease and assess its impact on QoL. We assessed FoF in 130 patients with Parkinson\u2019s disease (PD) on scales measuring perceived self-efficacy in performing a range of activities (FES), perceived consequences of falling (CoF), and activity avoidance (SAFFE). A significant difference was found in FoF between PD patients who had previously fallen and those who had not and between frequent and infrequent fallers. Patient-rated disability significantly influenced FoF. Difficulty in rising from a chair, difficulty turning, start hesitation, festination, loss of balance, and shuffling were the specific mobility problems which were associated with greater FoF in PD. Disability was the main predictor of FoF, additionally depression predicted perceived consequences of falling, while anxiety predicted activity avoidance. The FoF measures explained 65% of the variance of QoL in PD, highlighting the clinical importance of FoF. These results have implications for the clinical management of FoF in PD."}
+{"text": "Editorial on the Research TopicSecond Line Treatment of Non-Small Cell Lung Cancer: Clinical, Pathological and Molecular Aspects of Novel Promising DrugsLazzari et al.; Sullivan and Planchard; Tran and Klempner; K\u00f6hler). In addition, the introduction of immunotherapy, with anti PD-1 Pembrolizumab, in first-line treatment of NSCLC represents the best choice for EGFR, ALK, and ROS1 wild-type patients expressing PD-L1 on \u226550% of neoplastic cells . Despite the survival improvement achieved with these new therapeutic options in first-line treatment, about 30% of patients do not obtain a tumor response . Moreover, those patients, initially sensitive to these treatments, acquire resistance and develop tumor progression. Approximately 60% of the patients progressing from first-line therapy receiving further systemic treatment in the second-line setting Also in second line, the armamentarium for the treatment of patients with NSCLC, includes a pletora of new drugs, such as immune checkpoint inhibitors , third generation tyrosine kinase inhibitors (Osimertinib) , and anti-angiogenic agents (Nintedanib and Ramucirumab) .The advent of precision medicine and predictive molecular pathology led to a revolution in clinical management of patients with non-small cell lung cancer. The discovery of oncogene addiction allowed the development of targeted therapies that represent newer therapeutic options reserved to those patients harboring specific gene alterations, such as EGFR mutations, ALK, and ROS1 translocations . Probably the right way is to give all the available opportunities to patients, but challenges and pitfalls should be carefully debated.This exciting therapeutic scenario for NSCLC patients still has unsolved questions and challenging issues, in particular regarding the optimal selection of the patient population through the individualization of the correct methodology and biological source of material (tissues vs liquid biopsy) for clinical relevant biomarkers assessment (Taken together, the papers published in Research Topic \u201cSecond Line Treatment of Non-Small Cell Lung Cancer: Clinical, Pathological and Molecular Aspects of Novel Promising Drugs\u201d represent a critical discussion focused on the older therapies and the historical development of second line, putting into perspective the new agents available in clinical practice, defining their importance from a clinical point of view, but also to consider and exploit the complex molecular mechanisms responsible of their efficacy or of the subsequently observed resistance phenomena, to support the oncologist to design the best therapeutic strategies for NSCLC patients.UM and PP contributed equally to this paper.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Glioblastoma multiforme (GBM) is an aggressive, malignant, and lethal brain tumor, resistant to all current forms of treatment. The rapidly emerging focus on cancer stem cells embodies a paradigm shift in our understanding of tumor pathogenesis, while the development of powerful genome-wide screening techniques has provided cause for optimism related to the development of more reliable therapies primarily targeting GBM stem cells (GBMSCs). There are promising mounting data on providing new molecular targets and predictive markers of response, leading to more effective therapies of GBM, guided by patient-specific genetic and epigenetic profiling. However, the achievement of efficient GBMSC targeting also requires an adequate understanding of the unique microenvironment, and the relationship with the immune system in the central nervous system (CNS) and CNS tumors. The endogenous immune regulation is likely to limit or abrogate the efficacy of the host's immune response, as well as the developed immunotherapeutic strategies at present. Therefore, a comprehensive understanding of the mechanisms underlying the GBM-induced immunosuppression is indispensable. This review presents a summary of the present knowledge both on GBMSCs and the GBM, and/or GBMSC-related mechanisms of developing both local and systemic immunosuppression, of which an understanding may lead to the development of the novel and effective therapeutic strategies."}
+{"text": "Ubiquitin (UB) is a small inactive peptide which dramatically changes the fate of ubiquitinated proteins when enzymatically activated and covalently attached to proteins in the process known as ubiquitination has been defined as a multifaceted network of cellular pathways that are activated after DNA damage . The group of Simone Sabbioneda discussed how UB and SUMO control DNA damage tolerance, the last line of defense that allows completion of DNA replication in the presence of an unrepaired template. They focused on post-replication repair, the mechanism cells use to bypass highly distorted templates caused by damaged bases . Jacqueline Jacobs (Netherlands Cancer Institute) and her group demonstrated that UB and SUMO play an essential role in both telomere maintenance and protection, but are also key contributors for the cellular response to dysfunctional telomeres . Besides the physiological role of the UB and SUMO pathways in DNA replication and telomere function, this issue also covers the majority of DNA repair pathways. Thus, Coleman and Huang (New York University School of Medicine) nicely summarized how SUMOylation plays a major role in fine-tuning of the Fanconi-Anemia Pathway, the main pathway for repairing DNA interstrand crosslinks. The group of Hanspeter Naegeli (University of Zurich) highlighted the essential importance of ubiquitination, SUMOylation but also Neddylation in the regulation of nucleotide excision repair, the main mechanism that protects us from UV-light . Smeenk and Mailand (University of Copenhagen) gave us comprehensive overview of UB and SUMO in the repair of DNA double strand break (DSB) repair, the most cytotoxic DNA lesion. Their work clearly demonstrates how ubiquitination and SUMOylation are highly sophisticated and complex PTMs in the DDR. Harding and Greenberg (University of Pennsylvania) presented an additional perspective on DSB repair, with a special focus on nuclear architecture, chromatin dynamics and chromatin organization in DSB repair and how UB and SUMO control and connect these processes. Himmels and Sartori (University of Zurich) went even deeper in the understanding of DSB repair and described how UB and SUMO regulate DNA-end resection, the initial step in DSB repair. Interestingly, they concluded that the UB pathway in DNA-end resection is mostly linked to protein degradation processes, where SUMO acts as an intermolecular \u201cglue\u201d in modulating protein-protein or protein-DNA interactions required for homologous recombination rather than specifically affecting the activity of individual proteins. Dantuma and Pfeiffer discussed how the E3-UB and E3-SUMO ligases are recruited to sites of DNA damage and the importance of the spatiotemporal relationship among different DNA repair proteins and PTMs. Pellegrino and Altmeyer (University of Zurich) nicely explained how the crosstalk between ubiqutination, SUMOylation and PARylation, another PTM that also forms a chain signal (PAR), regulate genome stability. Pinto-Fernandez and Kessler (University of Oxford) demonstrated the importance of inactivation of the ubiquitin signal in the DDR in their summary of how deubiquitinating enzymes counteract DDR-related ubiquitination. Beside the essential role of UB, SUMO and PAR in the spatiotemporal recruitment of different DNA replication and repair proteins at sites of DNA damage, the group of Thorsten Hoppe (University of Cologne) discussed how protein disassembly is equally as important as protein recruitment for genome stability . The disassembly of proteins from chromatin is mostly orchestrated by the ubiquitin-dependent AAA+ATPase p97/Cdc48, also known as VCP in humans, that serves as the unfoldase and segregase to remove ubiquitinated proteins described the involvement of the DDR in the G2/M-checkpoint and mitosis and how these two processes are regulated by PTMs. In addition to molecular mechanisms of UB and SUMO in DDR and genome stability, this issue also contains one technical article, which helps us to better understand how to quantitatively investigate UB and SUMO pathways in DDR. Heidelberger et al. described mass spectrometry-based approaches for quantitative analyses of site-specific protein ubiqutination in the context of the DDR.Helle Ulrich (Institute of Molecular Biology - Mainz) and her group highlighted that ubiquitination and SUMOylation control all aspects of DNA replication, from its initiation, elongation and termination, and not only translesion DNA synthesis as was initially proposed (By reading these outstanding articles one can easily conclude that all authors strongly emphasize the promising therapeutic potential that targeting two PTMs- ubiquitination and SUMOylation- as well as other components of the DDR, has for cancer therapy (Hoeller and Dikic, All authors listed have made a substantial, direct and intellectual contribution to the work, and approved it for publication.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest. The reviewer PB declared a past co-authorship with one of the authors ID to the handling Editor."}
+{"text": "Regarding American Psychiatric Association, Attention-Deficit/Hyperactivity Disorder (ADHD) is one of the most common neurodevelopmental disorders in early childhood. The symptoms of ADHD include inattention, impulsivity, and hyperactivity. Such disorders lead to disruption in the educational, social and individual relationships areas and in other life aspects. Studies have highlighted the side effects of medications in the rehabilitation of individuals with ADHD and supported that many of children with ADHD despite pharmacological treatments experience cognitive dysfunctions ,2. In reThe goals of mHealth apps as one of the main subsets of e-health, are behavior change, education and diagnostic evaluations, collecting and reporting data, direct recording of health status, providing electronic decision supports, facilitating communication, planning and scheduling, alleviating the economic burden of diseases, enhancing the quality of health research and generally improving the effectiveness of healthcare services and health outcomes . mHealthThe interactive nature of mHealth apps along with their capability to be adapted and customized based on individuals\u2019 needs, leads in improving care, promoting rehabilitation and enhancing the quality of life."}
+{"text": "Substance-using women who exchange sex for money, drugs or shelter as a means of basic subsistence have remained largely at the periphery of HIV and harm reduction policies and services across Canadian cities. This is notwithstanding global evidence of the multiple harms faced by this population, including high rates of violence and poverty, and enhanced vulnerabilities to HIV transmission among women who smoke or inject drugs. In response, a participatory-action research project was developed in partnership with a local sex work agency to examine the HIV-related vulnerabilities, barriers to accessing care, and impact of current prevention and harm reduction strategies among women in survival sex work. This paper provides a brief background of the health and drug-related harms among substance-using women in survival sex work, and outlines the development and methodology of a community-based HIV prevention research project partnership. In doing so, we discuss some of the strengths and challenges of community-based HIV prevention research, as well as some key ethical considerations, in the context of street-level sex work in an urban setting. Substance-using women working in open street-level sex work markets face a myriad of health risks, including pervasive violence and assault, high rates of poverty and homelessness, drug-related harms, stigma, and social isolation -3. MortaOf particular concern, women who exchange sex for money, drugs, shelter, or other commodities as a means of basic subsistence have been shown to face an elevated risk of HIV transmission , increasIn Vancouver, Canada, a city drug policy response, known as the Four Pillars strategy, and several innovative harm reduction efforts have been shown to be highly successful in reducing the harms of drug users, including primary and secondary prevention, extensive fixed and mobile syringe exchange programs, a heroin maintenance trial and two supervised injection facilities ,25. Yet In an effort to respond to existing gaps in prevention and policy, a community-based HIV prevention research project was developed to investigate the health-related harms, service barriers, and impact of current harm reduction and prevention strategies among women working in survival sex work in Vancouver, Canada. This paper outlines the development and methodology of the Maka Project Partnership, and discusses some of the strengths and challenges of community-based HIV prevention research, as well as ethical considerations, in the context of survival sex work in an urban setting.An initial gap in service access, HIV prevention and harm reduction for survival sex workers was identified as a key issue through informal conversations between health providers, staff, and sex workers at an inner city drop-in centre. In operation since 1987, Women's Information Safe Haven (WISH) Drop-In Centre Society connects with an estimated 200 women engaged in survival sex work per night. While the mandate is not exclusive to Aboriginal women, over half of the women that come through its doors are of First Nations, Metis and Inuit ancestry. The project works closely with WISH's well-established Aboriginal Health and Safety Project for Women in the Sex Trade (AHIP), as well as other key Aboriginal and sex work collaborators.In 2004, researchers were approached to collaborate on an initial needs assessment of women attending the drop-in. The results led to the conception and design of both a research and a service arm . The serA key component of the project is capacity-building among a team of women in survival sex work, supported by an open Community Advisory Board (CAB), that inform all stages of the project. Initial CAB tasks were to identify the working role of the CAB and develop a hiring process for peer team of women. The hiring process aimed to ensure a transparent process, including extensive and flexible options for informing and inviting women to contact the project and the creation of a community-peer hiring panel (CAB members). Through this process, a team of women with a lived experience of survival sex work were hired, trained and support to play an active role in guiding, developing and conducting the research. These positions are low-threshold employment positions that work from a harm reduction perspective, similar to models of other sex work and drug-user groups. There is considerable focus on capacity building and training, as well as ongoing support and referral for addictions counselling, drug treatment, supportive housing, and child care. Extensive training modules were conducted in collaboration with local community agencies and sex work groups, including sex work specific training created and conducted by PACE Society on lateral oppression, vicarious trauma, debriefing and conflict resolution; participatory-action research principles, methodologies, ethics, and informed consent; and health, HIV/HCV prevention, and harm reduction conducted by community health providers, sex work groups, and Aboriginal agencies.In keeping with community-based research principles, this project adopts multiple research methodologies, including ongoing qualitative focus group discussions, social mapping, and a prospective cohort (6 monthly interview questionnaires and HIV screening) over a three-year period. All focus group discussions are facilitated or co-facilitated by a member of the peer team and inform the 'lived experiences' of survival sex work and barriers to and facilitators for prevention and harm reduction efforts. Individual informed consent is obtained prior to the discussion group and verbal rather than written consent is provided at the time of the interview, due to participant concerns of confidentiality. Discussion groups last approximately two hours and all participants receive Can$25 compensation for their expertise and time.A particularly novel component of the project is the social mapping, a participatory-action research tool that facilitates community access to hidden populations and highlights local expertise. Initial piloting of the maps with over 60 women facilitated by the Maka peer team has informed subsequent recruitment and outreach efforts for both research and service arms of this project. In particular, women are provided with a map of Vancouver's Downtown Eastside and surrounding communities and asked to mark 1) strolls where they work and live; 2) current working conditions ; 3) high and low risk areas for violence and bad dates; 4) working areas impacted by police presence and harassment; 5) areas of health and syringe availability and disposal.Given the difficulty in accessing a representative sample of sex workers due to the illegal and clandestine nature of sex work and unknown boundaries of this population , mappingThrough time-space sampling, a total of 205 women were initially invited and agreed to participate in a baseline visit over a six month period in 2006 (response rate of 93%), with ongoing 6 monthly follow-up visits scheduled to continue through 2008. Baseline and follow-up include detailed interview questionnaires administered by the peer interviewers and HIV screening by the project nurse, supported by extensive pre and post-test counselling. Women 14 years of age and older who have used illicit substances (not including marijuana) within the last month and are actively engaged in street-level sex work are eligible to participate. Semi-structured interview questionnaires elicit responses related to current and past experiences of sex work, violence and trauma, health and addition service access, working conditions, and sexual and drug-related harms. HIV screening is completed by the project nurse using the INSTI rapid HIV test , and new reactive tests are confirmed by western blot. A pre-test counseling questionnaire is completed by the project nurse on detailed questions relating to overall health, experiences with HIV and Hepatitic C testing, and current and past abuse experiences in order to facilitate counselling and referral to support services. Participants receive Can$25 compensation at baseline and each follow-up visit.Sex work researchers have described some of the key ethical issues and challenges in conducting non-exploitative research in this population both in Canada and internationally ,35,38-40The concern of ensuring privacy and confidentiality of participants requires particular consideration in the sex work context, in addition to raising some key ethical issues related to HIV prevention research. Given the historically oppressive nature of research of sex work, significant concern from the onset by both the community partner and sex work activists was that the research did not further stigmatize a highly marginalized population of women, or falsely precipitate sex workers as \"vectors of disease\". A concern similarly voiced in other settings across the globe ,41. As sTwo key ethical issues emerged of important relevance in HIV related research with sex work populations. First, while HIV is a reportable illness using the standard ELISA test, the new rapid point of care test provides women with the opportunity to receive anonymous HIV screening. Women are advised during extensive pre-test counselling that the INSTI test is not a diagnostic test, and a reactive test needs to be confirmed by a western blot, as per standard of care. Women have the choice of being referred to a physician for follow-up testing, or completing the follow-up testing at the Maka Project office. Early findings suggest increased acceptability and utilization of point of care testing among a highly marginalised population of women, with 96% of women agreeing to HIV screening at first visit. Within this context, the role of HIV reportability and disclosure in survival sex work needs to be explored , particuSecondly, reporting of violence experienced by youth less than 18 years of age is a major limitation to research with legal minors , and hasConsistent with recent literature on public health partnerships , the CBRHowever, a particular challenge to the CBR process in this community has been the balancing of interests of academic and community partners, as well as survival sex workers themselves. Three sets of partners are represented in the research: a service agency for sex workers, survival sex workers, and the researchers. Emerging discussions in community-based HIV prevention research have focused on the challenges of defining a \"community\" in the CBR process . In healIn addition to the many strengths of ensuring active involvement of those currently involved in survival sex work for both sex workers and researchers ,39,49, tHigh rates of health and drug-related harms, including violence and victimization, persist among women in open street-level sex worker markets in cities across Canada, and globally ,28,50,51KS conceptualized the manuscript, wrote the original draft, and incorporated suggestions from authors into the final version of the manuscript. VB, SA, DA, KG and MWT were involved in conception of the methodology and provided critical feedback on content and revisions to the original draft. All authors read and approved the final version of the manuscript."}
+{"text": "Work-hour limitations have been implemented by the Accreditation Council for Graduate Medical Education (ACGME) in July 2003 in order to minimize fatigue related medical adverse events. The effects of this regulation are still under intense debate. In this literature review, data of effects of limited work-hours on the quality of life, surgical education, and patient care was summarized, focusing on surgical subspecialities.Studies that assessed the effects of the work-hour regulation published following the implementation of ACGME guidelines (2003) were searched using PubMed database. The following search modules were selected: work-hours, 80-hour work week, quality of life, work satisfaction, surgical education, residency training, patient care, continuity of care. Publications were included if they were completed in the United States and covered the subject of our review. Manuscrips were analysed to identify authors, year of publication, type of study, number of participants, and the main outcomes.Twenty-one articles met the inclusion criteria. Studies demonstrate that the residents quality of life has improved. The effects on surgical education are still unclear due to inconsistency in studies. Furthermore, according to several objective studies there were no changes in mortality and morbidity following the implementation.Further studies are necessary addressing the effects of surgical education and studying the objective methods to assess the technical skill and procedural competence of surgeons. In addition, patient surveys analysing their satisfaction and concerns can contribute to recent discussion, as well. Resident work-hour restrictions have been implemented nationwide under the guidelines established by the Accreditation Council for Graduate Medical Education (ACGME) in July 2003 . The maiwork-hours, 80-hour work week, quality of life, work satisfaction, surgical education, residency training, patient care, continuity of care. Synonyms were used to find further relevant literature. In addition, we reviewed the references from the resulting publications to identify further potential articles to be included in our study.To identify the relevant publications, a Medline database search of articles published following the implementation of ACGME guidelines through PubMed was performed. Relevant studies were retrieved using the following sequences of key words: Studies were included that assessed the effects of work-hour limitations on residents quality of life, surgical education, and the quality and continuity of patient care, respectively. Publications were selected if they covered at least one subject of our review and were completed in United States. Review articles, textbook chapters, poster presentations, and abstracts were exluded from this study. Studies were eligible if they were prospective, retrospective, or descriptive.A total of twenty-one articles satisfied the inclusion and exclusion criteria for this analysis. We reviewed and summarized the findings published in the studies. Variables of interest included authors, year of publication, type of study, number of participants, and the main outcomes.Resident work hour regulations have been implemented in the State of New York during the 1980s . It was One publication reports emotional exhaustion and depersonalisation among most residents before and after introduction of work-hour reduction, whereas, important clinical activities such time spent in the operating room, clinic, and making rounds did not changes as well .In summary, almost all investigations have reported improved quality of life and work-related satisfaction in surgical residents. However, most authors agree that the working conditions cannot be improved by reducing work-hours only. It is concluded that due to limited work time, the work load should be distributed to colleagues or auxiliary staff (physician extenders).Surgery is a procedure \u2013 based specialty requiring the acquisition of technical skills and procedural competence. This experience depends on the variety of cases and case load during the residency. Several surveys have demonstrated improvements in theoretical surgical education with a significant increase of American Board of Surgery In-Training Examination (ABSITE) scores as a consequence of additional time for reading, more time for self preparation, and for conferences ,14,19,20Many clinicians argue that such work hour limitations adversely affect the training experience and report reduced quantity of operations, reduced consultations seen, and reduced conference attendance ,27,28. TIn summary, it is still controversial whether the restricted work hours negatively influence the surgical education and training. The new regulation reduces the duration of stay in the hospital and may lead to fewer opportunities to participate in operative cases. Thus, less experience may ensue for the surgeon in training. Further observations and objective evaluations of the surgical education can indicate whether the ACGME work-hour policy has adversely affected the clinical experience. Certainly, the estimation of ABSITE scores is an objective method to analyze the theoretical education of surgical residents. Unfortunately, the degree of surgical experience, procedural competence, and technical skills are difficult to assess. Therefore, it has been tried to use analyses of surgical adverse events, mortality, and morbidity to assess operative skills ,31-33.The ACGME work-hour regulation caused the development of shift models with multiple residents being responsible for a given patient . Thus, iAccording to several surveys, surgical residents are concerned about the negative impacts on patient continuity and quality of care. Otherwise, objective studies have demonstrated that the quality of care of surgical patients rather did not change following the implementation of the ACGME work-hour reform. Certainly, particularly the patient-resident relationship and previous patient focused attitude in treatment may suffer under the new regulation. Whether these changes also have an impact on patient satisfaction has yet to be determined. Surveys among patients are missing to date.To comply with the guidelines of the work-hour regulation, residency programs have to reduce or distribute the work-load that would have been completed by residents. Several benefits were reported after the incorporation of physician extenders (nurse practitioners or physician assistants) into the surgical service -45. StudOur review appears to support the following main findings: The new work-hour regulation improves the quality of life and work-related satisfaction especially in junior residents. In contrast, senior residents were less satisfied with the new reform. The effects on surgical education remain unclear due to inconsistency in studies, problems in assessment of the quality of the education and the quality of the surgeon's performance. Also, there appears to be no evidence whether the reduction of work-hours and the expected decrease of fatigue increased patient safety. Moreover, objective studies demonstrate no changes in mortality and morbidity following the implementation, although, residents perceptions regarding the quality of patient care were mostly negative. Finally, we observed a lack of patient surveys analysing patient satisfaction, quality and changes of care. This data could contribute to the recents debate. Moreover, further studies are necessary to analyse the effects on scientific research in teaching hospitals, to evaluate the changes of medical error and complication, and to assess the development of costs.The authors declare that they have no competing interests.All authors were involved in the research project and preparation of the manuscript. PHC: He made a substantial contribution to conception and design, and gave a critical and final approval. PR: He has collected the data and made an analysis and interpretation of these data. He also made a draft of the manuscript and revisions. All authors read and approved the final version of the manuscript."}
+{"text": "Previous cross-sectional data suggest a positive association between serum cholesterol and brain neoplasms, but the results of cohort studies are inconclusive. There is evidence that in women the growth of meningiomas and astrocytomas depends on the hormonal status. The present investigation comprised data on serum cholesterol and beta-lipoprotein concentration among 229 participants in a health survey with subsequently diagnosed central nervous system (CNS) tumours. Data analyses included comparison of mean serum cholesterol and beta-lipoprotein level between cases and randomly selected controls--five for each case, matched for sex, age at screening and time of examination. The results showed a positive relation between the beta-lipoprotein level and the development of a CNS tumour in women under 50 years of age, and a negative association in those of older age with development of malignant tumours, which implies a possible influence of the menopausal status. Repeating the computations after excluding cases diagnosed within 5 years from screening revealed significant associations also between the serum cholesterol concentration and the development of a malignant CNS tumour, with a pattern similar to that of beta-lipoprotein. In conclusion, in women, irregular variation in the beta-lipoprotein level, which is involved in the synthesis of progesterone in the CNS, may enhance oncogenic transformation of astrocytes and meningeal cells; however, transformation of the latter is restricted to younger women."}
+{"text": "Microarray data are often used for patient classification and gene selection. An appropriate tool for end users and biomedical researchers should combine user friendliness with statistical rigor, including carefully avoiding selection biases and allowing analysis of multiple solutions, together with access to additional functional information of selected genes. Methodologically, such a tool would be of greater use if it incorporates state-of-the-art computational approaches and makes source code available.. All source code is available from Bioinformatics.org or The Launchpad. The R package is also available from CRAN.We have developed GeneSrF, a web-based tool, and varSelRF, an R package, that implement, in the context of patient classification, a validated method for selecting very small sets of genes while preserving classification accuracy. Computation is parallelized, allowing to take advantage of multicore CPUs and clusters of workstations. Output includes bootstrapped estimates of prediction error rate, and assessments of the stability of the solutions. Clickable tables link to additional information for each gene , and output can be sent to PaLS for examination of PubMed references, GO terms, KEGG and and Reactome pathways characteristic of sets of genes selected for class prediction. The full source code is available, allowing to extend the software. The web-based application is available from varSelRF and GeneSrF implement a validated method for gene selection including bootstrap estimates of classification error rate. They are valuable tools for applied biomedical researchers, specially for exploratory work with microarray data. Because of the underlying technology used they are also of methodological interest to bioinformaticians and biostatisticians. Patient classification and gene selection related to classification are common uses of microarray data , but stFrom a users' perspective, an ideal tool should also be user friendly and provide additional resources to ease the interpretation of results . Web-basFinally, a tool that fulfills the above requirements is of much greater relevance if it makes its source code available under an open-source license. Source code availability allows the research community to experiment with, and improve upon, the method and fix bugs, encourages reproducible research, allows to verify claims by method developers, makes the international research community the owner of the tools needed to carry out its work and, thus, creates the conditions for swift progress upon previous work, concerns of particular importance in bioinformatics ,16.We have developed GeneSrF and varSelRF , that satisfy the above requirements. The only available web-based tools with similar scope are M@CBETH and PropThe core statistical functionality is provided by the varSelRF package for R . This paThe input for the web-based application are either plain text files, or files that come from other tools of the Asterias suite . GeneSrFThe parallelization has been implemented over bootstrap resamples. The speedups achieved by parallelizing are shown in Figure The scaling of user wall time of the R code (varSelRFBoot) with number of arrays and number of genes is shown in Figure The run time for the web-based application for a wide range of data sets is shown Figure Scripts for timing experiments are included with the source code (directory \"Benchmarks\").Our procedure is explicitly targeted to select very small sets of genes, and has been shown to have To avoid underestimating the error rate of the classification procedure, we use the bootstrap (the 0.632+ approach of ). As in Since we obtain 200 resamples in the process of bootstrapping (see above) there is little added computational cost to providing analysis of stability and multiplicity of solutions. We report the number of genes selected and the identity of the individual genes selected in the original sample and the 200 bootstrap runs, including frequencies of every gene selected in the solutions. Moreover, the biological interpretation of the results is enhanced by the access to additional information. If the input file contains gene identifiers for either human, mouse, or rat genomes , for each gene in the results, the web-based application provides a link to IDClight , which aFinally, GeneSrF is one of the very few tools for the analysis of gene expression data that uses parallelization and, as far as we know, the only web-based tool to use parallelization for gene selection and classification. This is an important methodological novelty, as we can no longer expect that increases in single-CPU speed will allow us to analyze larger data sets in shorter time: the rate of increase in CPU speed has slowed down considerably in the last five years but, in contrast, increasing numbers of CPU cores are becoming much more affordable ,14. ThusFuture work focuses on extending the software to use random forest-related techniques applicable to heterogeneous types of variables such as addition of categorical data and othevarSelRF and GeneSrF implement a validated method for gene selection and provide bootstrap estimates of classification error rate, take advantage of computing clusters and multicore processors, and encourage careful examination of the multiplicity of solutions problems. Thus, these are both useful tools for applied biomedical researchers using microarray and gene expression data, and represent unique methodological developments in the area of web-based gene expression analysis tools.For GeneSrF:Project name: GeneSrFProject home page: Operating system: Platform independent (web-based application)Programming language: R, PythonOther requirements: A web browser.License: None for usage. Web-based code: Affero GPL (open source).Any restrictions to use by non-academics: None.For varSelRF:Project name: varSelRFProject home page: Operating system: Linux, UnixProgramming language: R, PythonOther requirements: LAM/MPILicense: GNU GPLAny restrictions to use by non-academics: NoneCGI, Common Gateway Interface; GO, Gene Ontology; KEGG, Kyoto Encyclopedia of Genes and Genomes; LAM, Local Area Multicomputer; MPI, Message Passing Interface."}
+{"text": "The experimental data providing evidence for the above roles of tryptase are summarized in the present review, as well as the effects of tryptase inhibition in animal asthma models. The potential strategies for the development of anti-asthmatic agents based on the inhibition of tryptase are discussed.Recent physiological and pharmacological studies have indicated the potential importance of tryptase, the major protein component in mast cells, in inflammatory diseases . Being released at inflammatory sites after the activation of mast cells, tryptase is capable of causing bronchohyperresponsiveness and infiltration of eosinophils, neutrophils, etc. in animal airways. The mechanisms by which tryptase causes bronchoconstriction involve probably the potentiation of other chemical mediators such as histamine, production of bradykinin via the hydrolysis of kininogen, and cleavage of the bronchodilating peptides VIP and PHM (peptide histidine-methionine). Tryptase has also been found to be a potent mitogen"}
+{"text": "Manjeet Singh, the immediate Past President and Executive Member of the Indian Pharmacological Society passed away on 30th April 1946, Dr. Singh obtained BPharm, MSc (Pharmacology) and PhD from Punjab University, Chandigarh. He started his career in 1973 in the Department of Pharmaceutical Sciences at the University. He established a cardiovascular sciences laboratory in the department and was known for original basic research in ischemia reperfusion injury and oxidative stress. Dr. Singh joined Punjab University, Patiala in 1994, as Professor and Dean and established the Department of Pharmaceutical Sciences and Drug Research. During his stay, Dr Singh and his team of PhD students described the concept of resident mast cell in heart and its role in ischemia reperfusion injury. They also identified several other molecular targets for new drug development for cardio-protection. This research was very well recognized and a large number of awards were conferred on him such as: Fellow of International Academy of Cardiovascular Science, KG Nair Oration, Dr. OD Gulati Award, Achari Oration, PP Surya Kumari Award, Univas Prize, Achari Prize, NS Dhalla Oration and many more.Born in a small town of Punjab on 18Prof Singh's latest achievement was the establishment of a model private college of pharmacy (Indo-Soviet Friendship College of Pharmacy) at Moga, Punjab. This college has a unique establishment with \u201cstate-of-the-art\u201d research facilities not only in pharmacology but also other disciplines of pharmacy. Although this institute is in a small remote town in Punjab, it attracted a large number of experts as devoted faculty. In November 2008, a high profile scientific conference was also organized under his leadership.Our Society has lost a dynamic and enthusiastic member; the pharmacy community has lost an affectionate and popular teacher, the pharmacology especially cardiovascular fraternity has lost a proud researcher and prolific writer, who made significant and original contributions in the field of basic cardiovascular physiology and pharmacology."}
+{"text": "Tumour-associated prostaglandin-like material, assessed by bioassay, has been examined in 37 patients with primary and metastatic squamous carcinomas of the head and neck, previously treated by radiotherapy and chemotherapy followed by radical surgery. High amounts of prostaglandin-like material were extracted from tumours excised within 3 months of radiotherapy and chemotherapy. These amounts correlated with necrosis, inflammation and fibrosis, but not with tumour site, size or degree of differentiation. Most of the prostaglandins formed by these treated tumours thus seem to be associated with host stromal and inflammatory cells, rather than the neoplastic cells. The possible roles of prostaglandins in facilitating the spread of squamous carcinomas are discussed."}
+{"text": "The diagnosis of bronchus cardiacus accessorius dexter (BCAD) has occurred in 25 casesduring the bronchoscopic investigations of 30,000 adult patients of the authors. In most of thecases, this bronchial anomaly has been revealed as an accessory phenomenon, nevertheless, inone of the patients, it was the source of a considerable hemorrhage. In another case reportedhere in detail, it occurred together with multiple developmental anomalies, such astracheobronchomegaly, mitral valve prolapse, pectus excavatum, hypoplasy of sinus frontalison the right side, inguinal hernia on the left side and hyperlipidemia type IV. Familyanalysis did not confirm the presence of any chromosomal disorders or accumulation ofsimilar developmental anomalies. The forms and frequency of associations of the anomaliesare surveyed on the basis of literary data. The recognition of BCAD is of diagnosticimportance, since it may explain the persistence of some bronchopulmonary symptoms;furthermore, the exploration of the associated abnormal vascular branches may be very usefulin case of an eventual thoracic surgical intervention."}
+{"text": "Africa is confronted by a heavy burden of communicable and non-communicable diseases. Cost-effective interventions that can prevent the disease burden exist but coverage is too low due to health systems weaknesses. This editorial reviews the challenges related to leadership and governance; health workforce; medical products, vaccines and technologies; information; financing; and services delivery. It also provides an overview of the orientations provided by the WHO Regional Committee for Africa for overcoming those challenges. It cautions that it might not be possible to adequately implement those orientations without a concerted fight against corruption, sustained domestic and external investment in social sectors, and enabling macroeconomic and political environment. Out of 58.03 million people who died globally in 2005, 10.9 million (18.8%) were from the WHO African Region [Firstly, there are serious leadership and governance challenges that include weak public health leadership and management ; inadequSecondly, extreme shortages of health workers exist in 57 countries of which 36 are in Africa . The criThirdly, there is rampant corruption in medical products and technologies procurement systems, unreliable supply systems, unaffordable prices, irrational use, wide variance in quality and safety . This haFourthly, there is a dearth of information and communications technology (ICT) and mass Internet connectivity, compounded by a paucity of ICT-related knowledge and skills limiting capacities of national health management information systems (HMIS) to generate, analyze and disseminate information for use in decision-making .Fifthly, health financing in the Region is characterized by low investment in health, lack of comprehensive health financing policies and strategic plans, extensive out-of-pocket payments, lack of social safety nets to protect the poor, weak financial management, inefficient resource use, and weak mechanisms for coordinating partner support .Finally, in terms of service delivery, the lack of effective organisation and management of health services combined with the above indicated challenges have in tandem led to the current situation where 47% of the population have no access to quality health services, 59% of pregnant women deliver babies without the assistance of skilled health personnel. In relation to water and sanitation which contribute to reducing burden of communicable diseases, 64% of the population lack sustainable access to improved sanitation facilities, and 42% lack sustainable access to an improved water source [Cognizant of the abovementioned challenges, the 46 Ministers of Health from the African Region adopted and signed the Ouagadougou Declaration that proSubsequently, the fifty-eighth WHO Regional Committee for Africa endorsed a framework for implementing the Ouagadougou Declaration . The fraFirstly, regarding leadership and governance, it proposes updating of national health policy and strategic plan; updating and enforcing public health laws; and strengthening mechanisms for transparency and accountability and intersectoral collaboration .Secondly, concerning HRH, it recommends generation and use of evidence in HRH policy development, planning and management; reinforcing health training institutions capacity; strengthening HRH leadership and management capacities; implementing HRH retention strategies; and increasing fiscal space for HRH development .Thirdly, with regard to medical products and technologies, it proposes development of formulae for determining the requirements and forecasting for medicines, commodities, essential technologies and infrastructure; and creation of a transparent and accountable procurement system .Fourthly, relating to health information and research, the Declaration on Primary Health Care and Health Systems suggests development and implementation of a comprehensive HMIS policy and strategic plan; and establishment of a functional national HMIS by leveraging ICT . In addiFifthly, pertaining to health financing, it recommends development of a comprehensive health financing policy and a strategic plan; institutionalization of national health accounts and efficiency monitoring; strengthening of financial management skills at all levels; allocation of at least 15% of the national budget to health development; implementation of the Paris Declaration on aid effectiveness; and develop social protection mechanisms .Finally, as regards service delivery, the Declaration proposes building on the elements of essential health services, mode of delivery and costs; development of norms, standards and procedures for service provision and health infrastructure construction and maintenance; formulation of integrated service delivery model at all levels including the referral system; development of mechanisms to involve all private health providers in provision of essential health services; development and implementation of multi-sectoral health promotion policies and strategies to optimize community involvement in health development .Effective public health interventions are available to curb the heavy disease burden in Africa. Unfortunately, health systems are too weak to efficiently and equitably deliver those interventions to people who need them, when and where needed. Fortunately, the health policy-makers know what actions ought to be implemented to strengthen health systems. However, it might not be possible to adequately implement those actions without a concerted and coordinated fight against corruption, sustained domestic and external investment in social sectors , and enabling macroeconomic and political environment.HMIS: Health management information systems; HRH: Human resources for health; ICT: Information and communications technology; PHC: Primary health care; WHO: World Health OrganizationThe authors declare that they have no competing interests.JMK and SPB contributed equally in drafting the editorial. All authors read and approved the final manuscript."}
+{"text": "Diarrhoea was estimated to account for 18% of the estimated 10.6 million deaths of children aged less than five years annually in 2003. Two\u2014Africa and South-East Asia\u2014of the six regions of the World Health Organization accounted for approximately 40% and 31% of these deaths respectively, or almost three-quarters of the global annual deaths of children aged less than five years attributable to diarrhoea. Much of the effort to roll out low-osmolarity oral rehydration solution (ORS) and supplementation of zinc for the management of diarrhoea accordingly is being devoted to sub-Saharan Africa and to South and South-East Asia. A number of significant differences exist in diarrhoea-treatment behaviours and challenges of the public-health systems between Africa and Asia. The differences in rates of ORS use are the most common indicator of treatment of diarrhoea and vary dramatically by and within region and may significantly influence the roll-out strategy for zinc and low-osmolarity ORS. The prevalence of HIV/AIDS and the endemi-city of malaria also differ greatly between regions; both the diseases consume the attention and financial commitment of public-health programmes in regions where rates are high. This paper examined how these differences could affect the context for the introduction of zinc and low-osmolarity ORS at various levels, including the process of policy dialogue with local decision-makers, questions to be addressed in formative research, implementation approaches, and strategies for behaviour-change communication and training of health workers. Over a quarter-century has passed since the introduction of oral rehydration therapy (ORT) for diarrhoea in 1978 , while rIn May 2004, the WHO and United Nations Children's Fund (UNICEF) issued new recommendations for the management of all episodes of childhood diarrhoea, including new low-osmolarity oral rehydration salts (ORS) and supplementation of zinc for 10\u201314 days . When prZinc is an effective treatment for diarrhoea and resembles a modern pharmaceutical (tablets or syrup); therefore, zinc has the potential to reduce inappropriate use of antimicrobials for childhood diarrhoea through a replacement effect. Results of a community-based trial in Bangladesh showed that, in areas where zinc was introduced into the management of diarrhoea, inappropriate use of antibio-tics was significantly less than in control areas without zinc treatment . PrelimiThere are now calls for a sustained effort to roll-out zinc and the new formulation of ORS and to ensure that it is in the hands of low-income and marginalized populations who most need it ,15. SuchRates of ORS use for the management of diarrhoea vary greatly throughout sub-Saharan Africa and South Asia, reflecting regional variations in promotion and acceptance of ORS. High rates of incidence of HIV and malaria represent an added burden to already struggling health systems. This paper focuses on how these three factors\u2014(a) current childhood diarrhoea-management practices, (b) prevalence of HIV, and (c) endemicity of malaria\u2014affect the context of introduction of low-osmolarity ORS and supplementation of zinc at various levels: national policy, health programmes, health facilities, and households. We demonstrate that current rates of ORS use, HIV/AIDS, and malaria might affect the process of policy dialogue with local decision-makers, dictate questions to be addressed through formative research, and influence strategies for behaviour-change communication and training of health workers.For the purpose of this paper, countries in these two regions have been classified by rates of ORS use and rates of prevalence of HIV/AIDS and malaria Table . These cCountries in this first category are primarily francophone, in the Sahel region of West Africa, and have among the highest levels of under-five mortality in the entire world , low rates of ORS use (10\u201320%), high levels of malaria-related morbidity and morta-lity, relatively low but increasing prevalence of HIV, and relatively poor access to government health facilities. The 2003 Lancet child-survival series describes five profiles or patterns of under-five mortality in countries with high rates or contributing large numbers of under-five deaths . These cThis setting includes countries of southern Africa characterized by high ORS use, lower but still considerable under-five mortality , overall high prevalence of HIV (over 20%), and highly seasonal and focal transmission of malaria, resulting in a relatively low burden of malaria-related disease. These countries were assigned to Profile 5 in the 2003 Lancet series .Countries in this setting include nations of eastern and southern Africa, falling in Profile 4 of the 2003 Lancet series , with meThis category includes countries of South Asia corresponding to Profile 1 in the Lancet series , with meThe final setting is represented by parts of South Asia with lower but still considerable under-five mortality , high ORS use (over 60%), and a relatively small burden of disease attributable to HIV/AIDS and malaria ,17.ORS and ORT have been recommended for the treatment and prevention of dehydration since the late 1970s , while the highest levels were observed in Bangladesh, Viet Nam, The Philippines, and the smaller Indian States, such as Kerala, Manipur, and Goa. Factors contributing to lower levels of ORS-use in parts of South Asia include low levels of knowledge and awareness of ORS among some groups and poorWhere rates of ORS use are high, ORS sachets are generally widely available, affordable, or free of charge and theiThe availability of and access to ORS sachets vary greatly between regions and can have a significant impact on use-rates. In many Asian countries, ORS sachets are available through various channels, such as health facilities, general stores, and medicine shops , and popAcross southern Africa, ORS sachets tend to be readily available through both public and private channels, whereas in West Africa, ORS sachets are frequently available only at health facilities and pharmacies. These are few in number, making it difficult for people to access ORS, particularly in the rainy season. With the introduction of zinc and new ORS, strong advocacy should be carried out for policies which promote the increased access and availability of these products through private and community distribution channels. African countries also tend to not have as many local manufacturers of ORS as Asian countries do, therefore may only have one public-sector supplier and no private-sector ORS market. The adoption of the new formulation of ORS may be dependent upon the rate at which exporters of ORS adapt to the new formulation. In some cases, suppliers of ORS are producing both original and low-osmolarity ORS, but are only providing the new formulation when requested, thus leaving the choice of which formulation up to the procuring body.The epidemiology of malaria and HIV/AIDS differs greatly across the five settings, with rates of childhood malaria highest in Setting 1 and 3 and HIV/AIDS taking the greatest toll in Setting 2 and 3. The presence of these diseases can affect the receptiveness of a given setting to introduction of zinc and low-osmolarity ORS and the feasibility of attaining an adequate coverage with these interventions control programmes. Categorical programmes can weaken health systems by hiring already scarce personnel away from existing services into new categorical programmes, or offering specific courses, meetings, and other activities that take away from general patient care , althougComplex clinical presentations of diarrhoea among HIV-positive young children require greater skills to manage appropriately. Acute diarrhoea occurs more often in HIV-infected children, and episodes tend to be more severe and persistent ,36 and aAlthough there is little scientific evidence supporting biological interaction of malaria and diarrhoea -40, the Household structure: Thus far, pilot interventions introducing supplementation of zinc and low-osmolarity ORS have relied upon community education on management of diarrhoea to increase treatment-seeking from public and private sources and, hence, improve management of diarrhoea. In countries where prevalence rates of HIV are high, severe illness and death among young adults have led to an enormous increase in the number of households headed by parents incapacitated by illness, elderly caregivers, or older children the policy environment and policy-makers, (b) the supply chain for medications and other health-related commodities, (c) the availability of human resources in the health sector, (d) the quality of case management by health workers, and (e) home management of diarrhoea by parents Table .Considering only rates of ORS use, endemicity of malaria, and rates of prevalence of HIV, the most favourable context for the accelerated introduction of zinc and low-osmolarity ORS will be where current rates of ORS use are high, and the burden of disease attributable to HIV/AIDS and malaria is low. This situation is represented by Setting 5 in Table Setting 1 and 4, where rates of ORS use are the lowest, may present the greatest challenges to introduction of these new treatments. If the lowest rates are due to ORS being unavailable, efforts may be needed to both promote local manufacturing of zinc and ORS and ensure that these products are available through multiple public and private distribution channels. Although the burden of disease attributable to HIV is currently lower compared to other countries, these regions have difficulties in achieving high coverage with other critical public-health interventions. Thus, achieving coverage of zinc and low-osmolarity ORS may require additional technical assistance to overcome challenges. The francophone countries in Setting 1 are characterized by high levels of under-five mortality, weak health services, poor transport, and limited ability of governments to implement policies and provide services . Under tIn Setting 2 and 3, considerable progress has been made in strengthening health systems, and this is reflected in the high rates of ORS use and lower levels of under-five mortality compared to many other parts of Africa. HIV/AIDS threatens to reverse many of these gains and is a constant concern in the minds of policy-makers, health workers, and communities. In Setting 3, the challenge of HIV/AIDS is overlaid on the persistent high malaria-related burden of disease. In Setting 2 and 3, strong advocacy before policy-makers for investments to improve case management of diarrhoea is required. At the household and community levels, promotion of appropriate management of diarrhoea should be complemented by adequate care and support for orphans and other vulnerable children. As with Setting 1 and 4, we need to seek new ways of integrating ongoing efforts of new diarrhoea-management guidelines directed at HIV/AIDS and malaria through better training and supervision of health workers and other measures to improve quality of care.It is widely appreciated that national strategies to introduce zinc for the management of diarrhoea and new low-osmolarity formulation of ORS must be adapted through formative research to take into account local understandings of diarrhoea and home-management practices. What is less well-appreciated is the enormous impact the other public-health problems, such as malaria and HIV/AIDS, can have on the environment for the introduction of these new treatments, as summarized in Table This paper was written with support from the Zinc Task Force with funding from the Bill and Melinda Gates Foundation and support from the Office of Health, Infectious Diseases and Nutrition, Global Health Bureau, United States Agency for International Development (Award No. HRN-A-00-96-90006-00)."}
+{"text": "Blood-transfusion services are vital to maternal health because haemorrhage and anaemia are major causes of maternal death in South Asia. Unfortunately, due to continued governmental negligence, blood-transfusion services in India are a highly-fragmented mix of competing independent and hospital-based blood-banks, serving the needs of urban populations. This paper aims to understand the existing systems of blood-transfusion services in India focusing on Maharashtra and Gujarat states. A mix of methodologies, including literature review (including government documents), analysis of management information system data, and interviews with key officials was used. Results of analysis showed that there are many managerial challenges in blood-transfusion services, which calls for strengthening the planning and monitoring of these services. Maharashtra provides a good model for improvement. Unless this is done, access to blood in rural areas may remain poor. Blood is a vital healthcare resource used in a broad range of hospital procedures, viz. accidents, emergency obstetric services, and other surgeries. It is also a potential vector for harmful, and sometimes fatal, infectious diseases, such as HIV, hepatitis B and C. Every year, millions of people are exposed to avoidable, life-threatening risks through the transfusion of unsafe blood. As per a global database, 6 million of 81 million units of blood collected annually in 178 countries are not screened for transfusion-transmissible infections ,4. AccesResults of a study of the circumstances for maternal deaths in Indonesia indicate that the lack of blood supplies and inability of some healthcare professionals to administer a transfusion contributed to deaths due to haemorrhage . SimilarIn India alone, according to a review of the Sample Registration Survey 1997-2003), postpartum haemorrhage accounts for nearly 38% of all maternal deaths 97-2003, , they arThis global scenario is evidenced from a statement by Director General of the World Health Organization made on the World Health Day 2000. He said, \u201cDespite all the technological marvels that humani-ty is experiencing, a reliable and safe blood supply is still out of the reach for untold millions of people around the world\u201d.To achieve Millennium Development Goal 5, access to effective EmOC, along with provision of professional care at birth, has been identified as vital for reduction in maternal mortality . In IndiThe primary responsibility for blood supply for blood-storage centres at the FRUs lies with the government/national health authority. Regional Blood Transfusion Centres (RBTCs), identified based on the amount of blood collected , carries out this responsibility. Licensing and monitoring of the blood-banks in India is the responsibility of the Drug Controller of India. The National Blood Transfusion Council (NBTC), established in accordance with the agreed national blood policy and within a legislative framework, has the major advisory role in the formulation of policy on safe blood-transfusion services in India. The National AIDS Control Society is responsible for collection of safe blood while providing financial assistance and State AIDS Control Societies (SACSs) in Maharashtra and Gujarat. The policy guidelines of the National AIDS Control Organization (NACO) have also been reviewed to understand the role of NACO vis-\u00e0-vis NBTC. We have compared blood-banking management in India with the framework proposed by the World Health Organization (WHO) . StatistThe Blood Safety Programme in India began to take shape in 1987 with the establishment of the NACO, a government organization to oversee. In 1992, the Drug Controller General, India, was vested with the power of Central License Approving Authority to approve licensing of notified drugs, viz. blood and blood products. During the same year, under the National AIDS Control Programme I , the NACO launched a scheme to modernize blood-banks by providing assistance to states to upgrade and provide minimum facilities to blood-banks in the public sector and those run by charitable organizations, such as Indian Red Cross Society. Under the NACP I, the NACO modernized 815 blood-banks (282 major blood-banks and 533 district-level blood-banks) and also set up 40 blood component separation facilities to promote the rational use of blood. . Nearly 90% of the blood-banks modernized through this scheme were in the government sector. Meanwhile, in 1996, as a result of a case\u2014Common Cause vs Union of India and others\u2014the Supreme Court of India passed an order directing the Government to improve blood-transfusion services. Consequently, the NBTC and SBTCs were created to develop policies and programmes for improving blood-transfusion services in India.The Blood Safety Programme initiated in the NACP I was considerably strengthened in the NACP II (1999-2004) with modernizing more blood-banks, establishing model blood-banks, and setting up blood-storage centres in rural areas. The Government of India adopted the National Blood Policy in 2002 which aimed at ensuring easy accessibility to and adequate supply of safe and quality blood and blood components collected from voluntary and non-remunerated blood donors. In India, different organizations play different roles in licensing, controlling, and regulating blood-banks. While the Drug Controller General is the licensing authority, the NACO and SACSs aim at preventing the transmission of HIV and ensure 100% screening of all collected blood units, providing training and financial assistance to blood-banks for technical modernization for ensuring the quality of blood-banks. The NBTC and SBTCs aim at ensuring safe and quality blood for transfusion services, promote voluntary and non-remunerated blood donors, follow up quality-control assurance programmes in blood-banks, and conduct training programmes. The Council collects funds by 100% tax-free donations.Despite a directive of the Supreme Court regarding formation and functioning of SBTCs, all SBTCs are functioning under the SACSs. Since the SACSs have many other responsibilities relating to AIDS control , blood sOver the years, a fragmented mix of competing independent and hospital-based blood-banks of different levels of sophistication, serving different types of hospitals and patients, have emerged. Besides the government blood-banks, there are blood-banks run by charitable trusts, independent commercially-oriented private organizations, and specific non-government health organizations, such as the Indian Red Cross Societies (IRCSs). The piecemeal evolution of blood-banking is linked to the burgeoning population and the expanding and poorly-regulated private healthcare market. Most blood-banks in public hospitals often operate with minimal infrastructure, lack of leadership, and resources; this has resulted in an inadequate/irregular supply of blood in the public system. .Blood-bank activities include recruitment and retention of donors; collection, testing, processing, and storage of blood; and clinical use of blood and blood components and training . Review Following the Supreme Court intervention, the State Government of Maharashtra established its Blood Transfusion Council in 1996 as an independent entity separate from the Maharashtra SACS. The SBTC has a full-time professional of the rank of Assistant Director, supported by a research officer, statistical assistant, and MIS (management information system) staff. It has an objective to coordinate the fragmented blood-supply system while providing adequate, safe, and affordable blood units and components. Given its autonomous status and administrative staff, the SBTC maintains good coordination with other blood-safety units in Maharashtra, such as SACS and international development agencies. It involves the entire health infrastructure, primary hospitals to tertiary hospitals, in blood-donation campaigns as each health facility is given an annual target for blood-donation camps.The organizational structure of the Maharashtra SBTC extends to the regional and district levels. Maharashtra has eight regional blood-transfusion officers and 34 district blood-transfusion officers. The Council has also established the following committees to improve various aspects of blood transfusion in the state: (a) Technical Committee, (b) Voluntary Blood-donation Committee, (c) Thalassaemia Committee, (d) Post-graduation Committee, and (e) Project Formulation Committee.Many other state governments, including Gujarat, established its SBTC as a part of SACS and appointed the Additional Director of SACS as head of SBTC. Thus, the SBTC is not an independent unit and works under the head of SACS. In Gujarat, the SBTC does not have any full-time professional and administrative staff. The Council is mainly composed of honourary members and is headed by the health secretary. As the members and chairperson have many other responsibilities, the meetings of the Council are not held regularly. Compared to Maharashtra, Gujarat lacks systematic organization of the blood-transfusion council.In India, there are 2,063 licensed blood-banks. A significant portion of blood-banking activity is carried out by voluntary (n=257) and private blood-banks (n=980). The total recorded blood collection in India is four million units, which meet only 40% of need against a least requirement of 10 million units . TherefGiven the overall negligence to blood-banking in India, it is not surprising that its quality control has not been seen as an essential part. A lack of quality-assurance measures, including manuals of standard operating procedures, appropriate training and competency certification programmes, and continuous assessment systems, often hinders the implementation of good laboratory and manufacturing practices. For example, in Gujarat, some stakeholders reported that different blood-banks use different testing procedures and testing standards which hinders the exchange of blood between blood-banks. This may lead to more wastage of blood.Under the Blood Bank Modernization scheme of NACO, till November 2006, the Government of India has provided support to modernize 883 district-level blood-banks and 255 major blood-banks and established 82 blood-component separation units in the country. Ten state-of-the-art blood-banks were also established . The MahMaharashtra conducts regular training programmes on various issues to strengthen the capacities of professionals engaged in blood-banking services. The training programmes cover the following:\u2022Modular training for all blood-bank personnel\u2022Training on hepatitis C, ELISA Reader maintenance and repair, biosafety measures for all zonal BTC Blood Transfusion Officers and Technicians\u2022Component preparation for Blood Transfusion Officers and Technicians\u2022Blood group serology for Blood Transfusion Officers and Technician at the Indian Council of Medical Research\u2022Genetic blood disorder detection for Blood Transfusion Officers and Technicians\u2022Training for Drug Inspectors\u2022Quality-management training\u2014Blood Transfusion Officers\u2022Transfusion and transplantation science\u2022Key Blood Transfusion Officers from medical colleges trained as key trainers to undertake training for technicians of the FRU.In Gujarat, training programmes for blood-bank personnel are offered for updating their skills and knowledge. The training programmes, usually offered once in three months in various regions of the State, usually address topics on necessity of safe blood, the rational use of blood, and clinical procedures.Recently, the Medical Council of India has approved a postgraduate course in blood-banking and immunology haematology/immunology haematology and blood transfusion. Presently, five medical colleges offer this postgraduate course in the states of Gujarat, Jammu and Kashmir, Maharashtra, Tamil Nadu, and Uttar Pradesh .th of every month, and feedback is given to the regional health officers by the 15th of every month. At the start of each year, monthly analysis of blood collection of the previous year is done to formulate strategies to compensate for the deficit in blood collection in a particular month. Maharashtra has also developed an excellent system of web-based monitoring of storage and availability of blood units and components of each blood group in every blood-bank in the state. This allows hospitals and blood-banks to request blood from neighbouring blood-banks where the needed group may be available. This ensures the most efficient use of available blood and minimizes wastage.Maharashtra maintains a reasonably good computerized management information system (MIS). Reports are compiled at the state level by the 5Gujarat, unfortunately, does not have a similar system. Hence, in the case of need, either blood-bank managers have to call the other blood-banks to check the availability or the relatives of the patient have to visit more than one blood-bank to procure required type of blood. For monitoring the blood-banks, the state maintains a regular database for all the reporting blood-banks. However, feedback is only occasionally provided to blood-banks by the GSACS.Blood is urgently required for saving women's lives in the case of massive postpartum or antepartum haemorrhage or severe anaemia. As the majority of blood-banks are located in urban areas, the availability of blood in rural areas is difficult. To address this lack of availability of blood in rural areas, the policy was changed in 2001, allowing the establishment of blood-storage units in rural regions. However, nothing much happened on this front as it was given low priority in the states. In 2005, the National Rural Health Mission dedicated a part of its funds for the establishment of blood-storage units at the FRUs. These blood-storage units will be attached to large regional blood-banks in urban areas for blood supply.In Maharashtra, 44 blood-storage centres are currently functional in the FRUs. By the end of March 2009, the target is to open 171 blood-storage units. By 2012, 400 blood-storage units will be functional in rural hospitals. Under a recent amendment (2006) of the Nursing Home Registration Act of Maharashtra, all nursing homes, clinics, and private hospitals should be affiliated with a licensed blood-bank for procurement of blood for patients admitted to their hospitals. Along with this, the state also requires blood-bank or storage facility within five km of any registered private abortion facility to ensure the availability of safe blood for transfusion services, if required . All regAll blood-banks and blood-storage centres have to maintain a record on blood collection and distribution in Maharashtra. All regional blood-banks supplying blood units to blood-storage centres record the information on the number of blood units supplied, blood group of the supplied blood units, and dates of issue and expiry. The storage centres and private hospitals/clinics also maintain information on similar indicators to avoid wastage of blood units, as unused blood units can be returned to the regional blood-bank before the date of expiry. However, it has been observed that the government centres discard units after the expiry as there is not much accountability relating to this. The institutions also maintain the records of distribution of blood units, with the name of the patient and hospital, blood group of the patient, and units of blood given. However, this information is not analyzed for management purpose in Maharashtra.The below poverty-line (BPL) population is entitled to receive blood and blood products free of charge from any government blood-bank or storage centre in Maharashtra. Individuals affected by thalassaemia, haemophilia, and sickle-cell anaemia also receive blood free of charge on their identity card. Approximately 40,000 units of blood are given to thalassaemia patients every year in Maharashtra. All voluntary donors of blood are also entitled to one free unit of blood on production of the voluntary blood donor card.The Gujarat State AIDS Control Society arranged a meeting to discuss the \u201cReorganization of blood-transfusion services and developing blood-storage centres at the FRUs\u201d at the end of 2005 to make safe blood available. Recent data on blood-storage units by the Government of Gujarat showed that 26 of the 39 functional blood-storage units in Gujarat are attached to the FRUs required in the state. The blood-storage units are located in the FRUs attached to charitable hospitals, community health centres, and district hospitals. All blood-storage centres are linked to the RBTCs for blood supply. The Government of Gujarat is also planning to recognize more blood-banks as RBTCs to strengthen blood supply in rural areas. Recently, the Gujarat State AIDS Control Society has initiated a free blood scheme for thalassaemia, haemophilia, and sickle-cell patients.By law, there is no charge for blood but blood-processing and testing cost is generally allowed. The charge for blood-transfusion service in the government blood-banks is only Rs 425 to any patient (approximately US$ 9.4). The cost in private blood-banks varies from centre to centre and is generally higher.While the Indian health sector has made some noteworthy achievements over the last 50 years, it has not responded satisfactorily enough to meet the national goals on blood-transfusion services as is witnessed by the substantial negligence to blood-banking services in the country. In India, blood transfusion relies on very fragmented blood-supply systems, where control is exercised by different layers of the Government, making it difficult to assure the quality of blood and blood products. Two parallel systems are in place to monitor the blood-safety programme in India\u2014NBTC/SBTC and NACO/SACS.Given the fact that there are a large number of Charitable Trusts and independent commercial and private blood-banks, the control of quality and coordination of all blood-banks to ensure easy access to blood and minimize wastage are a challenging task. This requires much more managerial capacity, skills, and resources within the State Blood Transfusion Councils. The promotion of postgraduate courses in blood-transfusion services will help in getting the trained and skilled human resource in the field of blood-banking. Given the lack of government resources in blood-transfusion services, there has been poor quality of service and periodic shortages of blood. Many blood-banks depend on philanthropic funding for their basic operations. The Government needs to increase its commitment towards improvement of blood-banking services and ensure that all needy patients get blood on time and free of charge for the BPL population.The existing MIS for blood-banking seems weak although it has been improved in Maharashtra. There is a lack of proper records on the use of blood in India. Due to this, it is not possible to estimate the need, supply, and unmet need for blood in obstetric emergency. Besides, the monitoring of the clinical use of blood and blood products is weak. No systematic analysis is done to measure adverse reactions following blood transfusion. Blood-banks also lack registering or monitoring of the total demand for blood and blood products (requests received) for each blood group that could not be met due to the non-availability of blood or blood products. They only record blood collected and used. They also do not report systematically the proportion of stored blood that expired due to non-use. Thus, substantial improvement in the MIS is needed.We find that, although the overall availability of blood is almost the same in both the states, the organization of blood-transfusion services is much better in Maharashtra as the Maharashtra Blood Transfusion Council is an independent unit with full-time staff under active leadership. Learning from this experience of Maharashtra, we recommend all the states to have independent and well-staffed blood councils. In Gujarat, the NGOs and the Indian Red Cross Societies are actively promoting voluntary donation of blood and, hence, per-capita collection in Gujarat is slightly better than in Maharashtra. Learning from Gujarat indicates the possibility of the dynamic role being played by the NGOs and IRCS in blood-banking.Ensuring a safe supply of blood and blood products and the appropriate and rational clinical use of blood are important public-health responsibilities of every national and state government, especially for saving lives of mothers who need comprehensive EmOC services because of pregnancy-related haemorrhage, severe anaemia, or abortions. The mechanism of availability of blood in rural areas is quite frail. There is a need for networking between urban blood-banks and rural blood-storage units. And as there is no special provision for timely blood supply for maternal emergencies in rural areas, it may not be possible to reduce maternal mortality due to haemorrhage, anaemia, and abortions. The use of blood components, at least in urban areas where facilities exist for storage of components, will also enhance supply of whole blood for rural areas.The authors acknowledge the International Centre for Diarrhoeal Disease Research, Bangladesh, Department of International Development (DFID), United Kingdom, and GSACS for partial funding for the study. They are also thankful to the Maharashtra State Blood Transfusion Council and the Gujarat State AIDS Control Society for their valuable contributions and whole-hearted cooperation in carrying out this study.Its content are solely the responsibility of the authors and do not necessarily represent the official views of the DFID."}
+{"text": "Adjustable rate mortgages and the downturn in the California housing market caused a 300% increase in notices of delinquency in Bakersfield, Kern County. This led to large numbers of neglected swimming pools, which were associated with a 276% increase in the number of human West Nile virus cases during the summer of 2007. Flaviviridae, genus Flavivirus) has remained epidemic in California since its arrival in 2003 because of decreased rainfall, snow pack, and water allotments to agriculture. The Kern River, which flows through Bakersfield, remained mostly dry during spring and summer; key bird species decreased in abundance because of the drought and the previous negative effect of WNV infection; and surviving birds in key species had high herd immunity to WNV acquired during previous seasons.An outbreak with 140 laboratory-confirmed human cases of WNV was centered in the Bakersfield area of Kern County, California, during 2007 . This case cluster formed the WNV epicenter for California during 2007, was the largest mosquito-borne encephalitis virus outbreak in Kern County since the 1952 epidemic of western equine encephalitis virus and an aerial survey of Bakersfield showed an extensive number of green or neglected pools, most of which were producing mosquitoes. The likely reasons for neglected pools are the adjustable rate mortgage and associated housing crises in Kern County and throughout California, which have led to increased house sales, notices of delinquency of payment, declarations of bankruptcy and home abandonment. Kern County was especially affected , with a Cx. p. quinquefasciatus were now occupied by Cx. tarsalis, a more competent vector of WNV than Cx. p. quinquefasciatus occurred during June 2007.Number of swimming pools treated by mosquito control personnel per month in Bakersfield, California, 2005-2007. KMVCD, Kern Mosquito and Vector Control District."}
+{"text": "We conducted a preliminary survey on 3064 patients who underwent upper gastrointestinal endoscopy at the Al-Thawra Hospital in Sana'a, Republic of Yemen, between January and December 1991. The age/sex distribution, demographic features and social habits with respect to cigarette and water-pipe smoking and Qat chewing were compared for patients with oesophageal and gastric cancers (n = 183). A preponderance of women with carcinoma of the mid-oesophageal was noted, previously only recorded in areas of high prevalence. Unlike Western populations, smoking and alcohol consumption were not significant risk factors. A high frequency of Qat chewing and water-pipe smoking was found for both men and women and for a group with tumours of the gastro-oesophageal junction or cardia . Numbers were insufficient to identify independent effects of each factor individually. Dietary habits alone were insufficient to account for the excess of affected females. A case-control study is now underway to investigate further the role of dietary factors, social habits, demographic features and Helicobacter pylori infection on the development of upper gastrointestinal cancer in the Yemen."}
+{"text": "This paper describes an integrated flow injection (FI) system for the determination of ammonia, sulphate and Fe(II)/Fe(III) which can work unattended for long periods. The system was designed for the determination of individual analytes in long series of samples. Each batch of samples requires manual selection of parameters and units, such as wavelength for monitoring, preconcentration column, loops and switching of three valves to select the carrier, reagents and eluent. The system then works automatically."}
+{"text": "Fear of falling and avoidance of activity are common in old age and are suggested to be (public) health problems of equal importance to falls. Earlier studies of correlates of fear of falling and avoidance of activity did hardly differentiate between severe and mild levels of fear of falling and avoidance of activity which may be relevant from clinical point of view. Furthermore, most studies focused only on socio-demographics and/or health-related variables and hardly incorporated an extensive range of potential correlates of fear of falling including psychosocial variables. This study analyzes the univariate and multivariate associations between five socio-demographic, seven health-related and six psychosocial variables and levels of fear of falling and avoidance of activity in older persons who avoid activity due to fear of falling.Cross-sectional study in 540 community-living older people aged \u2265 70 years with at least mild fear of falling and avoidance of activity. Chi-squares, t-tests and logistics regression analyses were performed to study the associations between the selected correlates and both outcomes.Old age, female sex, limitations in activity of daily living, impaired vision, poor perceived health, chronic morbidity, falls, low general self-efficacy, low mastery, loneliness, feelings of anxiety and symptoms of depression were identified as univariate correlates of severe fear of falling and avoidance of activity. Female sex, limitations in activity of daily living and one or more falls in the previous six months correlated independently with severe fear of falling. Higher age and limitations in activity of daily living correlated independently with severe avoidance of activity.Psychosocial variables did not contribute independently to the difference between mild and severe fear of falling and to the difference between mild and severe avoidance of activity due to fear of falling. Although knowledge about the unique associations of specific variables with levels of severe fear of falling and avoidance of activity is of interest for theoretical reasons, knowledge of univariate association may also help to specify the concepts for developing interventions and programmes to reduce fear of falling and avoidance of activity in old age, particularly in their early stages of development. Fear of falling and avoidance of activity due to fear of falling are common in older people. Prevalence rates for fear of falling in community-living older persons range from 20 to above 60% -8 and foPrevious research has shown that fear of falling and/or avoidance of activity were associated with sociodemographic factors , health-related variables and psychosocial variables -8,13-18.severe and mild levels of fear of falling and avoidance of activity which might be relevant from clinical point of view. Knowledge of these factors may facilitate identification of those older persons who are suffering from severe levels of fear of falling and avoidance of activity, and thereby offer routes to effective intervention.Zijlstra and colleagues , in reviThe present cross-sectional study was performed in a sample of community-living older people in the Netherlands who reported at least some fear of falling and associated avoidance of activity. The objective was to examine the relationship between severe levels of fear of falling and avoidance of activity on the one hand, and an extensive range of potential correlates on the other, including socio-demographic, health-related and psychosocial variables.The study was of cross-sectional design and used the baseline data of a trial evaluating the effects of a cognitive behavioral group intervention to reduce fear of falling and fear-related activity avoidance among community-living older persons .Between November 2002 and July 2003, local municipal registry offices of two cities in the south of the Netherlands selected a random sample of 7,431 community-living people aged 70 years and over. They received a short screening questionnaire , which 4Fear of falling was assessed by asking \"Are you afraid of falling?\", and avoidance of activity due to fear of falling was measured by asking \"Do you avoid certain activities due to fear of falling?\" Possible answers to these questions were: \"never\", \"almost never\", \"sometimes\", \"often\", or \"very often\". For the mentioned trial we included only participants who reported either \"sometimes\", \"often\" or \"very often\" on both questions. The answer option \"sometimes\" was denoted as mild fear of falling and avoidance of activity due to this fear. The answer options \"often\" and \"very often\" was denoted as severe fear of falling and avoidance of activity due to this fear.Three groups of correlates were assessed: 1) socio-demographic, 2) health-related and 3) psychosocial correlates.First, we assessed the following socio-demographic variables: age, sex, educational level and living arrangements. Educational level was based on all schooling and professional courses completed in the course of life (lower versus middle/high) and living arrangement was assessed as living alone or living with one or more others.Second, the health-related variables we assessed were limitations in activities of daily living, impaired vision and hearing, perceived general health, number of chronic conditions, cognitive functioning and falls history. Limitations in activities of daily living were assessed with the 11-item subscale of the Groningen Activity Restriction Scale . ImpaireLastly, the psychosocial variables assessed were general self-efficacy, mastery, social support interactions, feelings of loneliness, and feelings of anxiety and symptoms of depression. General self-efficacy was assessed with a 16-item general self-efficacy questionnaire (score range 16\u201380) . MasteryChronic medical conditions, TICS, GARS and impaired vision and hearing were assessed by telephone interviews. All other data were collected by means of self-administered questionnaires. The study was approved by the medical ethics committee of Maastricht University/Academic Hospital in Maastricht, the Netherlands.First, descriptive analyses were performed for all selected variables. Second, we performed chi squares and independent t-tests to study univariate associations between the socio-demographic, health-related and psychosocial variables on the one hand and the two levels of fear of falling (mild and severe) on the other. We then repeated the same analyses for avoidance of activity. Finally, we conducted logistic regression analyses for each of the two dependent variables: fear of falling and avoidance of activity. Only the socio-demographic, health-related or psychosocial variables that showed a univariate association of p < .05 were included simultaneously in these analyses. We estimated odds ratios (ORs) and corresponding 95% confidence intervals (CIs). Analyses were conducted using SPSS for Windows version 14.0 . A significance level of less than .05 was considered statistically significant.Table Table The outcomes of the logistic regression analyses are presented in Table Our objective was to study the impact of an extensive range of socio-demographic, health-related and psychosocial variables on levels of fear of falling and avoidance of activity in older persons who avoid activity due to fear of falling. The results clearly show that due to the interrelationship between socio-demographic, health-related and psychosocial variables in older people, only a few of them correlated independently with either severe fear of falling and avoidance of activity due to this fear. Although we identified four socio-demographic, five health-related and five psychosocial factors significant univariate correlates of fear of falling, the independent correlation of only female sex, limitations in activity of daily living and falls history remained when covariates were taken into account. With respect to avoidance of activity due to fear of falling, we identified two socio-demographic, five health-related and five psychosocial significant univariate correlates; this pattern is consistent with fear of falling except for low education and living alone status being non-significant. When all significant univariate correlates were taken into account, only higher age and limitations in activity of daily living correlated independently with severe avoidance of activity. The correspondence between correlates for fear of falling and avoidance of activity may partly be explained by the interrelation of both outcomes. In effect, we were trying to determine what influences avoidance of activity in addition to fear of falling.severe fear of falling. However, in our final multivariate model where we took all significant univariate associations into account, only the impact of age, limitations in activity of daily living and falls history remained significant in the model. This latter finding indicates that none of the psychosocial factors we studied can differentiate between severe and mild levels of fear of falling.In a recent review Scheffer and colleagues identificlinical point of view particularly older people with sever fear of falling and avoidance of activity due to fear of falling are relevant for interventions. Therefore it is important to identify the factors associated with severe levels of fear of falling and related avoidance behavior. Such knowledge may help to specify the contents, approach and length of interventions for these persons. So from clinical point of view it is relevant and important to distinguish between mild and severe levels of fear of falling.Our study has several limitations. First, all measures were self-reported and performance-based measures were not included in the current study. Future studies should include objective measures of balance, gait, muscle strength, vision, etc. to establish a further understanding of the complex construct of fear of falling. Second, our study was cross-sectional so we may not take causal inferences from our data . Future research may identify which correlates can be considered as predictors and which as consequences of severe fear of falling and related avoidance of activity. Third, we included community-living older persons which can be considered as a heterogeneous sample. Future studies could focus on whether different patterns of correlates exist between more frail and less frail older persons. Finally, we included only persons who reported at least mild fear of falling and avoidance of activity. Also having people without fear of falling in our study would have enabled us to say whether, for example, women are more likely to develop any level of fear of falling or only severe fear of falling. However, our interest was not in the development of fear of falling, but rather in those factors that differentiate between mild and severe levels of fear and related avoidance behavior. From severe levels of fear of falling and avoidance of activity. We identified old age, female sex, limitations in activity of daily living, impaired vision, poor perceived health, chronic morbidity, falls, low general self-efficacy, low mastery, loneliness, feelings of anxiety and symptoms of depression as significant correlates of severe fear of falling and avoidance of activity. Although the knowledge about the unique associations of specific variables with levels of fear of falling is of interest for theoretical and scientific reasons, the awareness of the above univariate associations may help to specify the concepts for developing interventions and programmes to reduce severe levels fear of falling in old age, particularly in their early stages of development. A further strength of our study was the attempt to separate fear of falling and the resultant avoidance of activity as outcomes; particularly the latter is under researched in previous studies. This is important, as while fear of falling in itself may be an unwelcome anxiety for an older person, it is the related avoidance of activity that is arguably more significant in terms of its effect on social engagement, functional decline, quality of life, and further falls, particularly when this avoidance is severe. Our work suggests that avoidance of activity in older people with severe levels of fear of falling may be particularly high in those of advanced age and with limitations in activities of daily living, people for whom continued independence may be especially fragile and who will need rapid intervention to maintain that independence.The strength of our study is that in contrast to previous studies we focused on secondary prevention) but also to specify the concepts for developing interventions and programmes to reduce fear of falling and avoidance of activity in old age, particularly in their early stages of development (tertiary prevention).We conclude that female sex, limitations in activity of daily living and one or more falls in the previous six months correlate independently with severe fear of falling. Higher age and limitations in activity of daily living correlate independently with severe avoidance of activity. Psychosocial variables did not contribute independently to the difference between mild and severe fear of falling and to the difference between mild and severe avoidance of activity due to fear of falling. However, old age, female sex, limitations in activity of daily living, impaired vision, poor perceived health, chronic morbidity, falls, low general self-efficacy, low mastery, loneliness, feelings of anxiety and symptoms of depression were identified as univariate correlates of severe fear of falling and avoidance of activity. Although the knowledge about the unique associations of specific variables with levels of severe fear of falling and avoidance of activity is of interest for theoretical reasons, the knowledge of univariate association may also help to identify older people at risk for severe levels of fear of falling and avoidance of activity (The authors declare that they have no competing interests.GIJMK designed the study as a part of a randomized controlled trial. GARZ and JCMvH collected the data. GIJMK analyzed the data and drafted the manuscript with contributions of KJM, KD, JCMvH and GARZ. All authors read and approved the final manuscript.The pre-publication history for this paper can be accessed here:"}
+{"text": "Liza haematocheila (syn. Mugil soiuy), native to the Western North Pacific, provides opportunities to examine the changes of its parasite fauna after its translocation to the Sea of Azov and subsequent establishment in the Black Sea. However, the information on macroparasites of this host in both ranges of its current distribution comes from isolated studies published in difficult-to-access literature sources.The mugilid fish Data from 53 publications, predominantly in Chinese, Russian and Ukrainian, were compiled from an extensive search of the literature and the Host-Parasite Database maintained up to 2005 at the Natural History Museum, London.L. haematocheila throughout its distributional range comprises summarised information for 69 nominal species of helminth and ectoparasitic crustacean parasites, from 45 genera and 27 families and includes the name of the parasite species, the area/locality of the host capture, and the author and date of the published record. The taxonomy is updated and the validity of the records and synonymies are critically evaluated. A comparison of the parasite faunas based on the records in the native and introduced/invasive range of L. haematocheila suggests that a large number of parasite species was 'lost' in the new distributional range whereas an even greater number was 'gained'.The complete checklist of the metazoan parasites of L. haematocheila in its natural and introduced/invasive ranges cannot be dealt with the current data because of unreliability associated with the large number of non-documented and questionable records. This stresses the importance of data quality analysis in using host-parasite database and checklist data.Although the present checklist provides information that will facilitate future studies, the interesting question of macroparasite faunal diversity in Liza haematocheila , nativeisheries ; its expKazanski predicteet al. parasitise fish-eating birds as adults. Unfortunately, the above picture is associated with a large number of non-documented records in the introduced/invasive range of Gusev may depart from the real situation in the region and should be treated with caution .The systematics of the species of . Shigin ; Niewiad. Shigin ). Furtheercariae -53. Any ercariae . TherefoL. haematocheila in its native and introduced/invasive range based on the records in the present checklist [L. haematocheila (1978 through 1984) attempted in the Azov Sea basin involved both fry and fish of different ages caught in the Amur and Ussuriisk bays of the Sea of Japan [i.e. Gyrodactylus mugili, G. zhukovi, Ligophorus kaohsiangsieni, L. llewellyni and L. pilengas) transferred to the new distributional areas of the host [A comparison of the parasite faunas of hecklist ,47,54-77the host ,22,35,42L. haematocheila in the Western North Pacific probably do not exist in the new areas (e.g. the absence of the mollusc intermediate host). Further support to the 'supply-side' ecology of parasite transmission provides the 'gain' of the large suite of larval parasite stages (16 species utilising fish as second intermediate and fish-eating birds as definitive hosts). Although this may reflect both high bird and mullet abundance in the areas studied , all Ramsar wetlands of international importance supporting hundred thousands migrating and overwintering birds, I consider these records questionable since none is documented .The replacement of the adult forms (notably the haploporid and haplosplanchnid digeneans) by 'alternative' species of the same families can be considered a change related to the feeding habits of the host. This process appears to reflect biogeographical differences in the 'supply' since opportunities for transmission of the digenean species infecting L. haematocheila in its natural and introduced/invasive ranges cannot be dealt with the current data because of unreliability associated with the large number of non-documented and questionable records. This stresses the importance of data quality analysis in using host-parasite database and checklist data.Although the present checklist provides information that will facilitate future studies, the interesting question of macroparasite faunal diversity in The author declares that they have no competing interests.Liza haematocheila. Checklist of helminth and crustacean parasites of Liza haematocheila with documented (*) and questionable (?) records marked. Abbreviations: MS, Mugil soiuy; LH, L. haematocheila.Checklist of macroparasites of Click here for file"}
+{"text": "Rickettsial diseases, important causes of illness and death worldwide, exist primarily in endemic and enzootic foci that occasionally give rise to sporadic or seasonal outbreaks. Rickettsial pathogens are highly specialized for obligate intracellular survival in both the vertebrate host and the invertebrate vector. While studies often focus primarily on the vertebrate host, the arthropod vector is often more important in the natural maintenance of the pathogen. Consequently, coevolution of rickettsiae with arthropods is responsible for many features of the host-pathogen relationship that are unique among arthropod-borne diseases, including efficient pathogen replication, long-term maintenance of infection, and transstadial and transovarial transmission. This article examines the common features of the host-pathogen relationship and of the arthropod vectors of the typhus and spotted fever group rickettsiae."}
+{"text": "Meta-regression models were fitted considering linear and non-linear effects of alcohol intake. The effects of characteristics of the studies, of selected covariates (tobacco) and of the gender of individuals included in the studies, were also investigated as putative sources of heterogeneity of the estimates. A total of 235 studies including over 117\u2008000 cases were considered. Strong trends in risk were observed for cancers of the oral cavity and pharynx, oesophagus and larynx. Less strong direct relations were observed for cancers of the stomach, colon and rectum, liver, breast and ovary. For all these diseases, significant increased risks were found also for ethanol intake of 25\u2008g per day. No significant nor consistent relation was observed for cancers of the pancreas, lung, prostate or bladder. Allowance for tobacco appreciably modified the relations with laryngeal, lung and bladder cancers, but not those with oral, oesophageal or colorectal cancers. This meta-analysis showed no evidence of a threshold effect for most alcohol-related neoplasms. The inference is limited by absence of distinction between lifelong abstainers and former drinkers in several studies, and the possible selective inclusion of relevant sites only in cohort studies. \u00a9 2001 Cancer Research Campaign"}
+{"text": "The Receptor for Advanced Glycation Endproducts [RAGE] is an evolutionarily recent member of the immunoglobulin super-family, encoded in the Class III region of the major histocompatability complex. RAGE is highly expressed only in the lung at readily measurable levels but increases quickly at sites of inflammation, largely on inflammatory and epithelial cells. It is found either as a membrane-bound or soluble protein that is markedly upregulated by stress in epithelial cells, thereby regulating their metabolism and enhancing their central barrier functionality. Activation and upregulation of RAGE by its ligands leads to enhanced survival. Perpetual signaling through RAGE-induced survival pathways in the setting of limited nutrients or oxygenation results in enhanced autophagy, diminished apoptosis, and (with ATP depletion) necrosis. This results in chronic inflammation and in many instances is the setting in which epithelial malignancies arise. RAGE and its isoforms sit in a pivotal role, regulating metabolism, inflammation, and epithelial survival in the setting of stress. Understanding the molecular structure and function of it and its ligands in the setting of inflammation is critically important in understanding the role of this receptor in tumor biology. The Receptor for Advanced Glycation Endproducts [RAGE] is a member of the immunoglobulin superfamily, encoded in the Class III region of the major histocompatability complex -4. This RAGE is expressed as both full-length, membrane-bound forms and various soluble forms lacking the transmembrane domain. Soluble RAGE is produced by both proteolytic cleavage of fl-RAGE and alternative mRNA splicing. The soluble isoforms include the extracellular domains but lack the transmembrane and cytoplasmic domains -15. Soluin vivo is are fl-RAGE, sRAGE, and esRAGE , Matthew Albert , W. Herve Fridman and Catherine Sautes , and David Chou served as mentors in this program.LJS, DT, RK, HJZ, AAA, and MTL are part of a coalition of laboratories known as the DAMP Lab. It was formed in 2006 at University of Pittsburgh to focus on the role of Damage Associated Molecular Pattern Molecules [DAMPs] released or secreted by damaged or injured cells or the inflammatory cells responding to the \"danger\". Along with Dr. Michael E. de Vera and Dr. Xiaoyan Liang, they focus on the critical role of DAMPs in the initiation of chronic inflammation and the disease that often eventuates as a consequence, cancer."}
+{"text": "This is a report of a meeting sponsored by MundiPharma International to identify ways to exploit the cerebrospinal fluid system pharmacologically, for more effective management and prevention of primary and metastatic CNS tumors. The Science of Prevention: New Insights into the Importance of Intra-CSF Prophylaxis', was organized around several provocative theses to stimulate discussion of novel ways to treat, and even prevent, brain and meningeal tumors.Thirty investigators from numerous cancer research centers in the United States and Europe were convened by conference organizer, Michael Glantz (University of Utah School of Medicine \u2013 Huntsman Cancer Institute), to brainstorm the understanding of novel mechanisms, and the development of new paradigms involving the cerebrospinal fluid (CSF) system, for thwarting the spread and improving the treatment of nervous system cancers. This retreat brought oncologists and clinical neuroscientists to St. Thomas, Virgin Islands on February 22\u201324, 2007. The conference, entitled 'Pathophysiogically and pharmacologically, the CSF is an important circulatory system in the brain and spinal cord that, on the one hand disseminates malignant cells, but on the other hand might be harnessed to distribute corrective chemotherapeutic drugs. As knowledge of the CSF system increases, so do the opportunities for managing brain cancer. Successful CSF prophylaxis for medulloblastoma and acute leukemia could well serve as a paradigm for more effective treatment of lymphomas. Conference introductory keynotes by Ching-Hon Pui and Eckhard Thiel (Charite University Medicine Berlin) provided historical perspective and state-of-the-art reviews on acute leukemia and non-Hodgkin's lymphoma. Michael Glantz then addressed the feasibility of a randomized, controlled trial of CSF prophylaxis in patients with high-risk non-Hodgkin's lymphoma. The treatment-refractory glioblastoma multiforme, in dire need of a new therapeutic model, was addressed by Lawrence Recht who analyzed gliomagenesis in the context of growth factor effects on cancer stem cells in the subventricular zone. Utilizing new basic science information, Glantz then proposed a phase II trial incorporating intra-CSF chemotherapy into the initial treatment of patients with newly diagnosed glioblastoma multiforme.Three decades of experience with neoplastic meningitis (NM) has afforded many clinical insights on treatment, but cures remain exceedingly rare, and controversy persists regarding the most basic tenets. Marc Chamberlain (Fred Hutchinson Cancer Center) reviewed prognostic variables within subgroups of patients with solid tumor neoplastic meningitis, and urged tumor-specific strategies for CSF-directed therapy. However, the whole concept of intrathecal chemotherapy as a treatment for solid tumor NM was questioned by Willem Boogerd (Netherlands Cancer Institute) who emphasized the urgent need for a randomized clinical trial to address this issue, and presented such a proposal on behalf of the European Organisation for Research and Treatment of Cancer (EORTC). The rationale and techniques for treating malignant cells in CSF were discussed by William Shapiro , while the expectations for significantly improving survival in solid-tumor patients were outlined by Stuart Grossman . Conrad Johanson introduced the potential role of pharmacologically modifying choroid plexus function to treat or prevent cancer spread along the ventriculo-subarachnoid CSF system. Recognizing the limitations of CSF cytology and magnetic resonance scanning, Glantz outlined the need for more sensitive techniques to diagnose CSF malignancies and evaluate treatment outcomes. The importance of novel markers for diagnosing and monitoring responses in NM and lymphomatous meningitis was extensively treated by Morris Groves (M.D. Anderson Cancer Center) and Wyndham Wilson .The final session of the conference was both practical and visionary. Clinical trials, both newly completed and projected, were discussed. New insights for protecting against brain metastases (including lung and breast cancer) were delineated by Wallace Akerley (University of Utah School of Medicine \u2013 Huntsman Cancer Institute), Frankie Holmes (Baylor College of Medicine) and Ricardo Soffietti (University of Turin). Gudrun Fleischhack introduced opportunities for pediatric primary brain tumor initiatives, while Ulrich Herrlinger (University of Bonn) discussed primary central nervous system lymphoma. Randy Jensen (University of Utah School of Medicine \u2013 Huntsman Cancer Institute) reviewed the evidence in favor of post-neurosurgical prophylaxis. Finally, Jennifer Smith (Geron Corp) treated statistical issues in designing critical trials, including identifying predictive and prognostic markers. She also offered advice on clinical trial proposals developed during the conference.Science of Prevention conference was the first of its kind to focus on the CSF as a medium around which to marshall research and clinical strategies for preventing and treating brain cancer. Brain tumor development or spread, from both the pathologic and the pharmacologic point of view, is critically dependent upon functional relationships between CSF dynamics and brain metabolism. Considerably more information is needed about CSF-bordering cells in order to more effectively thwart dissemination of cancer cells throughout the CSF and interstitial fluid compartments. Also, analysis of primary brain tumor development in the subventricular zone deserves more attention as a site for modulating (by growth factors and antagonists) stem cell oncogenicity. The efficacy of intrathecal versus combined intrathecal and systemic administration of chemotherapeutic drugs also merits more attention. Clearly new CSF markers and diagnostic techniques are essential for improving disease identification and monitoring response to therapy in a class of diseases which continues to challenge oncologists, neurologists, neurosurgeons, basic scientists, and, most especially, patients. As a result of this conference, the rationale for expanding the intra-CSF prophylaxis approach to brain and meningeal tumors has now been more sharply defined.This The author(s) declare that they have no competing interests.Both authors contributed equally to this report and have read and approved the final version of the manuscript."}
+{"text": "In this manuscript, the information available on the molecular epidemiology of HBV in India has been reviewed and the results of studies among the eastern Indian population have been summarised.Hepatitis B virus (HBV) is one of the major global public health problems. In India, HBsAg prevalence among general population ranges from 2% to 8%, placing India in intermediate HBV endemicity zone and the number of HBV carriers is estimated to be 50 million, forming the second largest global pool of chronic HBV infections. India is a vast country, comprised of multiracial communities with wide variations in ethnicity and cultural patterns, which is attributable to its geographical location, gene influx due to invasion and/or anthropological migrations in the past. Moreover, recent increase in trade, trafficking and use of illicit drugs has also considerably influenced the epidemiology of HBV, specifically in the eastern and north eastern parts of India. However, data on the molecular epidemiology of HBV in India is scanty. HBV genotypes A and D have been well documented from different parts of mainland India. Interestingly, in addition to genotypes A and D, genotype C having high nucleotide similarity with south East Asian subgenotype Cs/C1 strain, have been detected exclusively from eastern Indian HBV carriers, suggesting a recent introduction. Thus, compared to other parts of India, the molecular epidemiology of HBV is naturally distinct in eastern India. Very recently, taking the advantage of circulation of three distinct HBV genotypes within the population of eastern India, different aspects of HBV molecular epidemiology was studied that revealed very interesting results. In this study, the clinical significance of HBV genotypes, core promoter and precore mutations, possible routes of introduction of HBV genotype C in eastern India, the clinical implications of About 30 percent of the world's population has serological evidence of current or past infection with HBV. Of these, an estimated 350 million are chronically infected with HBV and approximately 1 million persons die annually from HBV-related chronic liver diseases, including severe complications such as liver cirrhosis (LC) and HCC .In conclusion, the results of this thesis sheds light on many important aspects of HBV molecular epidemiology that are very much important for identifying the population at risk of acquiring HBV and developing severe disease, and also pose a risk of transmission through different modes. This information are essential for determining the risk factors associated with HBV infections, to formulate necessary preventive measures to lessen the burden of new infections and spread of newly introduced genotype to other parts, from eastern India. Moreover, considering the higher pathogenic potentials associated with certain HBV genotypes, the results of the thesis work will be helpful in prognosis and better management of HBV infected subjects.Emergence of new genotypes/subgenotypes, clinically important mutations have immense importance in determining the clinical outcome, efficacy of vaccination and therefore strict surveillance of these variants are extremely important. Hope that the present study will advance the understanding of changing molecular epidemiology of HBV, and will also help in formulation of effective preventive measures. Last but most important, the results of this thesis work, demonstrating compartment specific high prevalence of HBV DNA associated with vaccine/immune escape mutation in the PBL of HBsAg negative subjects have extremely important implications in the field of transfusion medicine, organ transplantation, and in vaccination strategies, and thus need further investigations. Finally, together with contributing unique data on molecular epidemiology of HBV in India, this thesis work also open new avenues for further studying the molecular virology of HBV.The author declares that they have no competing interests.The author studied Zoology at the Bachelor and Master Degree level and later joined the Indian Council of Medical Research Virus Unit, for doctoral research. He specializes in the fields of molecular diagnostics, epidemiology, evolution and genomics of viruses.Molecular Epidemiology of Hepatitis B virus in Eastern India: Role of Genotypes, X gene Variability and Disease Outcome\", which has been approved by the doctoral committee of Jadavpur University, for the award of PhD degree.The author compiled the above information for writing the background section of his doctoral thesis entitled \""}
+{"text": "Integrated vector management (IVM) is defined as \"a rational decision-making process for the optimal use of resources for vector control\" and includes five key elements: 1) evidence-based decision-making, 2) integrated approaches 3), collaboration within the health sector and with other sectors, 4) advocacy, social mobilization, and legislation, and 5) capacity-building. In 2004, the WHO adopted IVM globally for the control of all vector-borne diseases. Important recent progress has been made in developing and promoting IVM for national malaria control programmes in Africa at a time when successful malaria control programmes are scaling-up with insecticide-treated nets (ITN) and/or indoor residual spraying (IRS) coverage. While interventions using only ITNs and/or IRS successfully reduce transmission intensity and the burden of malaria in many situations, it is not clear if these interventions alone will achieve those critical low levels that result in malaria elimination. Despite the successful employment of comprehensive integrated malaria control programmes, further strengthening of vector control components through IVM is relevant, especially during the \"end-game\" where control is successful and further efforts are required to go from low transmission situations to sustained local and country-wide malaria elimination. To meet this need and to ensure sustainability of control efforts, malaria control programmes should strengthen their capacity to use data for decision-making with respect to evaluation of current vector control programmes, employment of additional vector control tools in conjunction with ITN/IRS tactics, case-detection and treatment strategies, and determine how much and what types of vector control and interdisciplinary input are required to achieve malaria elimination. Similarly, on a global scale, there is a need for continued research to identify and evaluate new tools for vector control that can be integrated with existing biomedical strategies within national malaria control programmes. This review provides an overview of how IVM programmes are being implemented, and provides recommendations for further development of IVM to meet the goals of national malaria control programmes in Africa. Malaria and other vector-borne diseases contribute substantially to the global burden of diseases and disproportionately affect poor and under-served populations living in tropical and sub-tropical regions [The control of vector-borne diseases represents one of the greatest global public health challenges of the 21 regions . In the Integrated vector management (IVM) is not a new concept and the basic principles of IVM have been used over the past century in the U.S.A. and elsewhere for mosquito control. An example includes the vast network of Mosquito Abatement Districts throughout the U.S.A. -9. TheseAll the tactics of standard vector control are included in the IVM approach. IVM goes beyond the integration of traditional control measures to emphasize strategies to make vector control programmes compatible with national health systems. IVM also incorporates decision-making based on human and institutional resources, and engages communities to promote sustainability. IVM encourages integrative, multi-disease approaches and promotes the systematic application of different interventions in combination and in synergy with each other. The framework for implementation strategies extends beyond the health sector and involves multiple stake-holders. To promote success, IVM requires continual monitoring, evaluation and legislation, linked with a strong commitment and concerted action by governments and international organizations .In 2004, the global strategic framework for IVM was prepared establishing new, broad principles and approaches to vector control that are applicable to all vector-borne diseases . IVM wasmost programme managers are unaware of this possibility that an integrated approach can, in principle, be introduced without additional resources\"; 2) over-sophistication of integrated control: \"in short, for many mosquito species enough is already known ....to base the introduction of integrated control\"; 3) insufficient conviction of the advantages of integrated control; 4) misconceptions about the use of pesticides in integrated control: \"project managers need to be assured that integrated control does not, nor cannot, mean exclusion of pesticides, but their more rational and correct use.\"; and 5) insufficient consciousness of comparative costs, effectiveness, benefits and risks: \"application of pesticides, especially via indoor residual spraying (IRS), frequently becomes a routine practice, regardless of the need or the results obtained\" [Historically, the implementation of integrated approaches to vector control has been a slow and complicated process. In the 1970's, WHO listed five reasons for the slow uptake of integrated vector control: 1) over-estimation of the requirements of integrated control: \"btained\" . Additioeffective IVM requires the establishment of principles, decision-making criteria and procedures, together with time-frames and targets\" [Like traditional approaches to vector control, IVM relies on an understanding of how environmental factors affect the distribution and densities of different species of vectors, and how effectively control measures reduce vector-human contact, vector survival and the overall intensity of pathogen transmission. IVM expands on traditional approaches to vector control in that collaboration with local communities, other stakeholders , and public health regulatory and legislative frameworks support the evolution of vector control. Programmes seeking to implement IVM must appreciate that \"targets\" ,16. ThesFigure Advocacy, social mobilization and legislation. Promotion and embedding of IVM principles in the development policies of all relevant agencies, organizations and civil society; establishment or strengthening of regulatory and legislative controls for public health and pesticide management; empowerment of communities.\u2022 Collaboration within the health sector and with other sectors. Consideration of all options for collaboration within and between public and private sectors; strengthening channels of communication among policymakers, vector-borne disease control programme managers and other IVM partners.\u2022 Integrated approach. Ensure rational use of available resources through a multi-disease control approach, integration of non-chemical and chemical vector control methods, and integration with other disease control measures, such as active and passive case detection and treatment.\u2022 Evidence-based decision-making. Adaptation of strategies and interventions to local vector ecology, epidemiology and resources, guided by operational research and subject to routine monitoring and evaluation.\u2022 Capacity-building. Development of essential physical infrastructure, financial resources and adequate human resources at local and national levels to manage IVM programmes based on needs assessments.\u2022 Are malaria vector control approaches involving ITNs and IRS sufficient? Where and when are they effective? What else is needed to eliminate the remaining low-levels of transmission? There is also a strong case for implementing larval control to target immature stages of anopheline mosquitoes to reduce malaria transmission [Plasmodium falciparum and Plasmodium vivax malaria will take at least another 50 years [Throughout Africa, National Malaria Control Programmes have recently embarked on emphasizing vector control as an essential component ,17. Mostsmission -27, but smission . Even wi50 years .In developing countries, Ministries of Health are normally charged with mosquito control as part of their overall public health programme, although lines of responsibility and organizational networks vary according to different countries. National guidelines are often developed with input from international organizations, such as the WHO and the CDC; these guidelines influence the strategies and tools employed for control programmes that are carried out by decentralized units of the government. However, there are many reasons why vector-borne diseases remain a major public health problem: 1) entomologists and vector-control specialists often fail to convince decision-makers of the importance of sound vector control; 2) intersectoral collaboration has been recommended as a method to improve mosquito control, but in practice, this type of collaboration has proved difficult; 3) modeling and adaptive management have not been used effectively to quantify the effect of disease and vector control interventions on the economic and social development of communities and nations; 4) failed management of insecticides has created a conflict of \"to spray or not to spray\"; 5) there has been a failure to connect the true disease burden with other societal burdens to establish the public health importance of vector-borne diseases in low-transmission settings; 6) the interaction between proper utilization of law enforcement and health education has not been explored in sufficient detail; 7) economics plays a central role in mosquito-borne disease control but has not been fully integrated in the evaluation of disease control programmes; 8) entomologists and public health specialists have failed to convince decision-makers that they have an ethical duty to control mosquitoes and the pathogens they transmit; and 9) biomedical strategies, such as active and passive case-detection and treatment, are often used instead of preventative vector control measures, as a result of international donor requirements.A comparative evaluation of vector-control programmes in five countries suggestsProgress in implementing IVM continues to be slow. In an Institute of Medicine review of Vector Borne Diseases, David Morens cites five fundamental deficiencies that inhibit our ability to find realistic solutions for vector-borne disease problems: deterioration of public health infrastructure, lack of adequate funding, lack of adequate training and training models, over-specialization in the biomedical sciences, driven by emerging technology and emphasis on the basic sciences, and bureaucratization . If IVM A recent report by Chanda et al. describeWhile much remains unknown about the impact of fully developed IVM programmes on malaria transmission -36, the Castro and colleagues describeOne of the largest integrated disease control schemes developed in the 1980's was the Blue Nile Health Project . The 10-Sri Lanka has long linked vector control with agricultural development. In the 1970s and 1980s, the Mahaweli River hydroelectric and irrigation development project caused new foci of malaria transmission to emerge around Kandi. The hydrological changes and the relocation of people between malaria endemic and non-endemic areas as a result of resettlement due to the dam reservoirs, contributed to an upsurge in malaria and JapaEritrea uses national-level ITN distribution strategies, larval habitat management in malarious areas, and indoor residual spraying in areas with the appropriate eco-epidemiological characteristics. Although Eritrea has seen a marked drop in malaria parasite prevalence and disease, no rigorous evaluation of the IVM activities linked to health outcomes has been done. Among the reasons why impact evaluation exercises have not been done are cost and time. In many instances, not enough resources are allocated for the proper evaluation of an intervention programme, forcing the use of a less rigorous study designs for establishing causal inference.IVM should be seen as a framework and a strategy rather than a circumscribed, tactical intervention. As such there are a large number of African national malaria control programmes that incorporate some, but possibly not at the present time, all of the IVM elements. \"Community-based\" IVM programmes incorporating larval source management have recently been implemented in two different settings: in Rusinga Island, Western Kenya , and in The implementation of IVM requires a needs assessment of vector control capability through:Policy needs: reform and adjustment of the policy framework which provides the enabling environment for vector control;\u2022 Institution building needs: the strengthening of existing institutions and the arrangements between them that aim at facilitating vector control;\u2022 Managerial development needs: the establishment of clear criteria and decision-making procedures to manage the vector control programme;\u2022 Technical strengthening: development of the technical facilities to support vector control programmes;\u2022 Human-resource development needs: the formation and in-service training of personnel in the relevant disciplines and skills.\u2022 Community participation; this will ensure the sustainability of control approaches.\u2022 Needs assessments of vector control capability must identify approaches that will assure that the elements from Table IVM in the Africa region was launched at a regional workshop of policy makers and vector control specialists in Harare in February 2001. From that workshop a strategic plan was further developed to initiate the implementation of IVM in Africa.Subsequently, a series of regional IVM training workshops were organized in Nairobi, Kenya in 2002 and 2004, and in Accra, Ghana in 2003. A total of 31 participants from 23 countries, including entomologists and vector control specialists working with Ministry of Health disease control programmes and Ministries of the Environment, attended the workshops .National plans of action were prepared and implementation of IVM was started in 16 countries. Vector-control needs assessments and the organization of national consensus workshops on IVM have been conducted in nine countries. In order to support all these efforts, the \"Partnership for IVM in Africa\", called \"IVM Africa,\" was founded in Harare with six organizations initially: WHO, UNEP, ICIPE, the USAID Environmental Health Project (EHP), The Hashimoto Initiative, and the Panel of Experts on Environmental Management (PEEM) .There is a rapidly increasing number of programmes incorporating ITNs with IRS . For exaThe Global Malaria Business Plan and a recent technical review of Global Malaria Control and Elimination recognizThere is a need to show that IVM approaches are being implemented and that they are making an impact. In addition to the basic requirements for implementing IVM at the national level for malaria control, further coordinated national and international efforts and financial support are needed to achieve the following:\u2022 Strengthen capacity-building for IVM at national level, improve the scope and quality of regional IVM training initiatives, and support post-graduate education.\u2022 Further promote interdisciplinary integration and inter-sectoral cooperation by engaging appropriate stake-holders at the national level, including community groups and NGOs, and engaging experts from outside traditional entomological and public health frameworks for vector-borne disease control.\u2022 Promote the incorporation of emerging technologies in database management, information systems, and communication into the IVM strategy for better national and regional level operations.\u2022 Develop novel training models that also have interaction components among entomologists in the field, health-care workers in the clinics and decision-makers in national and local government offices.\u2022 Support research that further elaborates approaches and tactics needed to combat malaria, especially for low-transmission settings where national programmes have successfully reduced levels of transmission and are now pursuing or moving toward country-wide elimination.\u2022 Support research in options for improving strategic management and decision-making to more comprehensively integrate IVM strategies into national malaria control programmes.\u2022 Support international research to develop new tools for malaria vector control, including new generation insecticides, new biological control strategies, new trapping methods, and innovative methods that target mosquitoes at different points in their life history cycles .\u2022 Identify and support activities that establish long-term partnerships between national malaria control programmes and international experts and institutions to strengthen capacity building and operational research components of IVM programmes.\u2022 Establish and fund IVM demonstration projects across different malaria-endemic environments to illustrate the importance of integrated IVM approaches for vector-borne disease control.\u2022 Increase research on the financial and economic costs of IVM including projected estimates of IVM, real-world cost-effectiveness calculations of IVM programmes from demonstration projects, and financial and economic models related to scaling-up IVM in Africa.IVM: Integrated Vector Management; ITNs: Insecticide-treated bednets; IRS: Indoor Residual spraying; WHO: World Health Organization; CDC: Centers for Disease Control; FAO: Food and Agriculture Organization; NGOs: Non-governmental organizations; UNEP: United Nations Environment Programme; ICIPE: International Centre of Insect Physiology and Ecology; USAID: United States Agency for International Development; LLINs: Long-lasting insecticide-treated bednets; NMCPs: National Malaria Control Programmes.The authors declare that they have no competing interests.JCB conceived the review concept, organized the draft sections, co-wrote sections of the draft and edited the overall manuscript. JK participated in the conception, helped organize the draft sections, co-wrote sections of the draft and helped in editing the overall manuscript. JIG participated in the conception and helped in editing the overall manuscript. MBM participated in the conception, co-wrote sections of the draft, and helped in editing the overall manuscript. DEI co-wrote and edited sections of the manuscript and formatted the draft for submission. RJN participated in the conception, provided specific IVM information, co-wrote sections of the manuscript and helped in editing the overall manuscript."}
+{"text": "An automated apparatus to assist in the development of analyticalcontinuous flow methods is described. The system is capable ofcontrolling and monitoring a variety of pumps, valves, anddetectors through an IBM PC-AT compatible computer. Systemcomponents consist of two types of peristaltic pumps (including amultiple pump unit), syringe pumps, electrically and pneumaticallyactuated valves, and an assortment of spectrophotometric andelectrochemical detectors. Details of the interface circuitry are givenwhere appropriate. To demonstrate the utility of the system, anautomatically generated response surface is presented for the flowinjection determination of iron(II) by its reaction with1,10-phenanthroline."}
+{"text": "Transposable elements are the most abundant components of all characterized genomes of higher eukaryotes. It has been documented that these elements not only contribute to the shaping and reshaping of their host genomes, but also play significant roles in regulating gene expression, altering gene function, and creating new genes. Thus, complete identification of transposable elements in sequenced genomes and construction of comprehensive transposable element databases are essential for accurate annotation of genes and other genomic components, for investigation of potential functional interaction between transposable elements and genes, and for study of genome evolution. The recent availability of the soybean genome sequence has provided an unprecedented opportunity for discovery, and structural and functional characterization of transposable elements in this economically important legume crop.Using a combination of structure-based and homology-based approaches, a total of 32,552 retrotransposons (Class I) and 6,029 DNA transposons (Class II) with clear boundaries and insertion sites were structurally annotated and clearly categorized, and a soybean transposable element database, SoyTEdb, was established. These transposable elements have been anchored in and integrated with the soybean physical map and genetic map, and are browsable and visualizable at any scale along the 20 soybean chromosomes, along with predicted genes and other sequence annotations. BLAST search and other infrastracture tools were implemented to facilitate annotation of transposable elements or fragments from soybean and other related legume species. The majority (> 95%) of these elements (particularly a few hundred low-copy-number families) are first described in this study.SoyTEdb provides resources and information related to transposable elements in the soybean genome, representing the most comprehensive and the largest manually curated transposable element database for any individual plant genome completely sequenced to date. Transposable elements previously identified in legumes, the third largest family of flowering plants, are relatively scarce. Thus this database will facilitate structural, evolutionary, functional, and epigenetic analyses of transposable elements in soybean and other legume species. Transposable elements (TEs) are the most abundant genomic components in flowering plants. For example, approximately 40% of the rice genome and 80% Pack-MULEs in rice . In addition, genes captured by TEs and TEs that carry gene fragments in soybean and these relatives will be identified, classified and integrated into the database in the context of the comparative genome maps of multiple species.Future SoyTEdb development includes the integration of TE data from http://www.soytedb.org, which is publicly accessible. These data are freely available without any restrictions to use by non-academics.All TEs or subsets of TEs can be downloaded from the SoyTEdb website LINE: Long interspersed repetitive element; LTR: Long terminal repeat; SoyTEdb: Soybean Transposable Element Database; TE: Transposable element; TSD: Target site duplication; WGS: whole genome shotgun sequencing.JD, ZT and LZ identified transposable elements. DG and RTN constructed the web-based database and helped to draft the manuscript. RCS and JM conceived of the study, participated in its design and corordination, and drafted the manuscript, and served as principle investigators of the project. All authors read and approved the final manuscript."}
+{"text": "TGF-beta is the prototype of a large family of multifunctional regulatory proteins. The principal sources of the peptide, platelets and bone, suggest that it plays a role in healing and remodeling processes. In vitro, TGF-beta is chemotactic for monocytes and fibroblasts and can greatly enhance accumulation of extracellular matrix components by fibroblasts. Its ability to stimulate the formation of granulation tissue locally and the demonstration of specific time- and tissue-dependent expression in embryogenesis suggest that similar mechanisms are operative in vivo. By analogy to its effects in wound healing and embryogenesis, it is proposed that TGF-beta, secreted by tumour cells, can augment tumour growth indirectly by effects on the stromal elements. These effects include suppression of the immune response, and enhancement of both angiogenesis and formation of connective tissue. Many tumour cells have escaped from direct growth inhibitory effects of TGF-beta by a variety of mechanisms including inability to activate the latent form of the peptide, loss of cellular receptors for TGF-beta, and loss of functional intracellular signal transduction pathways."}
+{"text": "Central and northern Europe are now at risk from bluetongue virus. Keywords: Bluetongue, BTV-8, epidemiology, cattle, sheep, Europe, disease perspectives, vectorial capacity, vector competence, vaccination, perspective Bluetongue (BT) is a reportable disease of considerable socioeconomic concern and of major importance in the international trade of animals and animal products. Before 1998, BT was considered an exotic disease in Europe. From 1998 through 2005, at least 6 BT virus strains belonging to 5 serotypes were continuously present in the Mediterranean Basin. Since August 2006, BTV-8 has caused a severe epizootic of BT in northern Europe. The widespread recrudescence and extension of BTV-8 infections in northern Europe during 2007 suggest that requirements for BTV establishment may now be fulfilled in this area. In addition, the radial extension of BTV-8 across Europe increases the risk for an encounter between this serotype and others, particularly those that occur in the Mediterranean Basin, where vector activity continues for more of the year. This condition increases the risk for reassortment of individual BTV gene segments. Bluetongue virus (BTV). The virus belongs to the family Reoviridae, genus Orbivirus; there are 24 serotypes (Bluetongue (BT) is an infectious but noncontagious viral disease caused by BT is a World Organization for Animal Health reportable disease and is of considerable socioeconomic concern and of major importance in the international trade of animals and animal products since BTV\u2019s introduction in 1998. To this effect, we provide a short overview of the epidemiologic situation in Europe, followed by a brief description of the susceptible species, a discussion of the vectorial capacity and competence of the Culicoides imicola (Kieffer), which is an Afro-Asiatic species of biting midge have been continuously present in parts of the Mediterranean Basin, including several member states of the EU (C. obsoletus (Meigen) and C. scoticus (Downes and Kettle), collected in central Italy (C. pulicaris (Linnaeus) in Sicily (C. dewulfi (Goetghebuer) in the Netherlands were positive by PCR for BTV were also PCR positive for BTV (19). In for BTV . AlthougCulicoides spp. were captured in animal housing during the winter period .Culicoides biting midge and a few deer species conditions. Vector capacity can be defined as the number of infective bites that an infected vector causes during its lifetime or inanimate means; through the active flight of infected vector Culicoides spp. ; and through passive flight of infected vector Culicoides spp. on the wind (responsible for long-distance dissemination).Introduction of BTV from 1 area into another can occur in 4 ways: through animal movement (domestic and wild ruminants) or animal product transport ; by infected vector Culicoides spp. becoming infected by feeding upon local viremic hosts, surviving long enough to ensure completion of the intrinsic incubation period , and transmitting the virus by bite to new hosts . In addition, the radial extension of BTV-8 across Europe (including the jump across the English Channel) (39) incChannel) .C. imicola, the Afro-Asiatic vector of BTV, occurs in addition to the C. obsoletus complex. As the population abundance of C. imicola peaks later in the year than the Obsoletus complex, this means that virus may be transmitted for a much greater portion of the year.Furthermore, in the southern epidemiologic system, With regard to prophylaxis, possibly the best strategic option for control of clinical BT outbreaks in the European endemic areas is vaccination of susceptible animals with inactivated vaccines to protect against disease and to exclude the possibility of reversion to virulence of the vaccine viruses and reassortment between vaccine and field strains of the virus ("}
+{"text": "Risks of being thin and stunted were higher if girls had general morbidity in the last fortnight and foul-smelling vaginal discharge than their peers. Consumptions of non-staple good-quality food items in the last week were less frequent and correlated well positively with the household asset quintile. Girls of the highest asset quintile ate fish/meat 2.1 (55%) days more and egg/milk two (91%) days more than the girls in the lowest asset quintile. The overall dietary knowledge was low. More than half could not name the main food sources of energy and protein, and 36% were not aware of the importance of taking extra nutrients during adolescence for growth spurt. The use of iron supplement was 21% in nutrition-intervention areas compared to 8% in non-intervention areas. Factors associated with the increased use of iron supplements were related to awareness of the girls about extra nutrients and their access to mass media and education. Community-based adolescent-friendly health and nutrition education and services and economic development may improve the overall health and nutritional knowledge and status of adolescents.This study estimated the levels and differentials in nutritional status and dietary intake and relevant knowledge of adolescent girls in rural Bangladesh using data from the Baseline Survey 2004 of the National Nutrition Programme. A stratified two-stage random cluster-sampling was used for selecting 4,993 unmarried adolescent girls aged 13\u201318 years in 708 rural clusters. Female interviewers visited girls at home to record their education, occupation, dietary knowledge, seven-day food-frequency, intake of iron and folic acid, morbidity, weight, and height. They inquired mothers about age of their daughters and possessions of durable assets to divide households into asset quintiles. Results revealed that 26% of the girls were thin, with body mass index (BMI)-for-age <15 Childhood undernutrition, highly prevalent in South Asia , continuAdolescence is a unique intervention point in the life-cycle for a number of reasons . Early aIn developing countries, factors associated with undernutrition of adolescents are: poor household economic condition, periodic food-shortage, child-labour (marker of household income-poverty), burden of disease, poor knowledge about long-term consequences of undernutrition of adolescents, quantity and quality of food, and access to health and nutrition services . In BangDietary knowledge and access to resources are critical to improve health and nutrition in a sustainable way. Adolescence is the time to learn and adopt healthy habits to avoid many health and nutritional problems later in life . AdolescTo combat the high prevalence of micronutrient deficiencies, the Government of Bangladesh recommends supplementation of micronutrients , 13. TheNutrition promoters need information on levels and differentials in undernutrition of adolescents, burden of disease, dietary knowledge, and intake and coverage of iron supplement to meet the needs of those who need them most. The objectives of this study were to provide them with such information that would assist in planning for remedial actions to address health and nutrition needs of adolescent girls in Bangladesh.This study used data from the Baseline Survey 2004 of the National Nutrition Programme (NNP) conducted in rural areas of Bangladesh. The NNP is the successor to the Bangladesh Integrated Nutrition Project (BINP), which was launched in 1994. The BINP expanded its activities in phases and continued up to 2003. The community-based nutrition centres run by female community nutrition promoters (CNPs) were the focus of the BINP activities. The CNPs imparted health and nutrition education to mothers of children aged less than two years (under-two children), adolescent girls, and pregnant women; monitored growth of under-two children; and provided food supplements to severely-underweight and growth-faltered under-two children and to undernourished pregnant women (BINP implementation plan 1994). They organized never-married adolescent (out-of-school and schoolgoing) girls of the community to form Adolescent Girls Forum and to hold its meeting monthly to discuss their health, nutrition and social safety issues and distributed iron and folic acid tablets to the participants of the meeting.A stratified two-stage random cluster-sampling was used for selecting 5,028 never-married adolescent girls aged 13\u201318 years from 708 clusters in 113 upazilas (subdistricts) spread in all six administrative divisions (strata) of Bangladesh. The first stage was the random selection of clusters from cluster lists in programme and non-programme upazilas where each cluster contains about 300 households. The second stage was the random selection of nine unmarried adolescent girls from each cluster of the NNP and comparison upazilas and six unmarried adolescent girls from each cluster of the BINP upazilas for interview. Upazilas were grouped into BINP upazilas, NNP upazilas (where NNP activities were yet to start), and comparison upazilas (selected to assess the effects of NNP interventions later). Analysis included 4,993 never-married adolescent girls aged 13\u201318 years (excluded were 35 girls with flagged BMI-for-age or height-for-age z-score).Female interviewers, trained by social scientists and nutritionists, visited adolescent girls at their homes with a structured questionnaire to obtain consent of parents and to collect data on health and nutrition status of the adolescent girls. Field supervisors checked work of the field interviewers daily to ensure the quality of data collected in the field. Interviewers inquired girls about their education, occupation, and access to electronic and print media. Education was measured with grade passed and categorized as: up to primary (passed grade 5 or less) and secondary or above (passed grade 6 or more). Access to media was considered high if she had listened to radio or watched television at least weekly or read a newspaper or magazine (no matter how frequent it was); otherwise, it was considered low.To assess their dietary knowledge, a checklist of food items was used. Girls were asked to name the check-listed foods that provide mainly energy, protein, vitamin, and minerals. They were asked if they were aware of the importance of taking extra nutrients during adolescence and use of iron supplements to assess their dietary knowledge and intake. Despite the possibility of recall bias, the girls were asked about the seven-day food-frequency questions to assess eating patterns of energy, protein, fat, and vitamin- and mineral-rich food items. A checklist was used for recording general morbidity symptoms they had experienced in the preceding two weeks. The checklist included fever, cough/cold, diarrhoea/dysentery, stomachache, respiratory problems, ear and eye problems, skin problems, and others. The girls were asked privately about menstrual irregularities, avoidance of any food during last menstruation, and passage of white discharge with foul smell. Self-reported morbidity symptoms were taken at face value.th percentile value of the WHO growth reference for girls refers to severely thin and BMI-for-age in between the 5th and the 15th percentile value refers to moderately thin. BMI-for-age below the 15th percentile value and height-for-age z-score <-2SD were used in measuring the prevalence of thinness and stunting respectively.Weight, height, and mid-upper arm circumference (MUAC) of the girls were measured by Uniscales, locally-made height scales and TALC (Teaching Aid at Low Cost) tape respectively. Weight and height were used for computing BMI and height-for-age z-score using the WHO growth reference for school-age children and girls , 15. BMIMothers were inquired about age or date of birth of their daughters and household possessions of durable items. A local calendar was used for determining age or date of birth accurately. Misreporting, particularly under-reporting of age, is likely and so are the underestimation of the prevalence of stunting and thinness. Household durables included bed-stand, chair, table, cupboard, radio, television, bike (including motor bike), land owned, wall material of the main dwelling unit , and type of toilet used. The principal components analysis of household durable assets retained one factor and assigned factor score to each household . The higBivariate and logistic regression techniques were used for estimating the differentials in nutrition status, dietary consumption, and knowledge and intake of iron supplement. The differentials included age, education, morbidity, access to mass media, household asset quintile, and type of upazila (proxy for exposure to the community-based nutrition education project). Bivariate differentials are shown in terms of prevalence (in %) and mean of seven-day food intake. Logistic regression was used in estimating the differentials, controlling simultaneously for others and expressed as odds ratios.The sampled girls were mostly young because some older ones got married and did not fit the inclusion criteria . A very The burden of disease measured with self-reported morbidity was quit high; 33% of the girls had one or more morbidity symptoms in the last two weeks . Morbidith percentile value of BMI-for-age for girls), 16% moderately thin , and 0.3% obese . The ageStunting (measured with height-for-age z-score <2SD) was prevalent among 32% of the girls, and its prevalence increased with increase in age. Girls with symptomatic RTI and lower education were more likely to be stunted than their counterparts. Knowledge of girls about the need for extra nutrients in adolescence, exposure to mass media, and household asset quintile were not associated with the prevalence of stunting.dal (lentils), fruits, and leafy vegetables, were not frequent in rural areas in the last seven days was universal with no difference between the asset quintiles (data not shown). Consumptions of non-staple food items, such as meat, eggs, al areas . Half ofTo estimate the economic differentials in consumptions of protein- and fat-rich foods, we grouped together fish and meat and egg and milk . The mean frequencies of eating fish/meat and egg/milk were 4.7 and 3.3 days respectively . The houdal (lentils) (21%), meat (32%), and fish (43%). Knowledge on vitamin- and mineral-rich foods was common; 75% mentioned vegetables, and 51% mentioned fruits as vitamin- and mineral-rich foods.Knowledge of adolescents on common food sources of energy and protein was limited. When asked to name main food sources of energy, 31% mentioned rice and 12% mentioned wheat, and these are correct responses (data not shown). Less than half correctly named high-protein foods: Two-thirds (64%) of the girls were aware of the need to take extra nutrients during adolescence to attain growth spurt . FactorsThe results of the study revealed that, in rural Bangladesh, the prevalence of thinness and stunting among the adolescent girls aged 13\u201318 years was widespread and persistent. Severe thinness was 9%\u2014lower than 16% found in schoolgirls aged 10\u201316 years in Dhaka city in 1995 , the preAlthough education was not associated with the risk of being thin, girls with higher education were less likely to be stunted than girls with lower education . Household economic condition (measured by the asset quintile) was not associated with the risk of being thin or stunted. This could happen for a number of reasons. The seven-day food-frequency data showed no difference in the intake of rice/wheat (staple diet) among economic groups. Selectivity can be another possible reason; healthier girls looked mature and belonged to wealthier households and got married at a higher rate at earlier age than girls of poor households. Some like to look slim to improve body image and may have lowered the economic differential in thinness and stunting. Last but not the least is the frailty; girls of the poor households died off at a higher rate leaving behind the healthy ones and underestimating the economic differentials in the cross-sectional survey. Only a longitudinal study can resolve the frailty issue.We explored the dietary patterns among rural girls in relation to household economic condition (measured with asset quintile). Food items, such as fish, meat, eggs, and milk, are the major sources of animal-protein, calcium, and vitamin A. Half of them could not have meat, eggs, or milk in a week. Girls of the households in the highest asset quintile did consume fish/meat 2.1 (55%) days more, and eggs/milk two (91%) days more than the girls of the households in the lowest asset quintile. The difference in intake of quality food between income-groups was reported for schoolgirls in Dhaka city . The larIron deficiency is common among adolescent girls in Bangladesh , 6, as lWidespread undernutrition, micronutrient deficiency, low dietary knowledge, and low coverage of iron supplement among adolescents are concerns for public-health nutrition in Bangladesh. Adolescents are not the sole decision-makers. Parents, particularly mothers, often make decisions on their behalf, and they need to be sensitized about diet and nutritional needs in adolescence and adverse effects of undernutrition of adolescents to change their mindset. The CNPs, with appropriate communication materials, can do the job effectively. Dietary education in schools, communities, and health facilities in a coherent manner can bring larger effects than stand-alone interventions. Schools can incorporate dietary education and nutritional needs at this age into family-life education or health education.The school education programme cannot reach out-of-school girls who account for 34% or more in Bangladesh . An effeThe study used the data from the Baseline Survey 2004 of the National Nutrition Programme (NNP) implemented by a collaborative effort of ICDDR,B, Institute of Public Health Nutrition, and National Institute of Population Research and Training. The NNP, World Bank, and Canadian International Development Agency provided guidance and financial assistance to the baseline survey. The study was funded by ICDDR,B and its donors which provide unrestricted support to the Centre for its operation and research. Current donors providing unrestricted support include: Australian Agency for International Development (AusAID), Government of the People's Republic of Bangladesh, Canadian International Development Agency (CIDA), Embassy of the Kingdom of the Netherlands (EKN), Swedish International Development Cooperative Agency (Sida), Swiss Agency for Development and Cooperation (SDC), and Department for International Development (DFID), UK. The authors gratefully acknowledge these donors for their support and commitment to the Centre's research efforts."}
+{"text": "Lyme disease is the most commonly transmitted vector-borne disease in the United States, with many regions of the country at risk. Like other spirochete-borne infections, Lyme disease progresses in stages, making diagnosis in the early stages of the illness and prompt treatment important for cure. An early diagnosis is made difficult by the less-than-ideal serologic tests and the varied clinical presentations of the disease. Although Lyme disease has been reported in pregnancy, the transmission rate to the fetus and potential harmful effects are largely unknown. This review discusses the diagnosis, clinical course, and treatment of Lyme disease with an emphasis on the pregnant patient."}
+{"text": "The full set of symposium articles, including recommendations for future research, appear in Archives of Physical Medicine and Rehabilitation.The Rehabilitation Research and Training Center on Measuring Rehabilitation Outcomes and Effectiveness along with academic, professional, provider, accreditor and other organizations, sponsored a 2-day State-of-the-Science of Post-Acute Rehabilitation Symposium in February 2007. The aim of this symposium was to serve as a catalyst for expanded research on postacute care (PAC) rehabilitation so that health policy is founded on a solid evidence base. The goals were to: (1) describe the state of our knowledge regarding utilization, organization and outcomes of postacute rehabilitation settings, (2) identify methodologic and measurement challenges to conducting research, (3) foster the exchange of ideas among researchers, policymakers, industry representatives, funding agency staff, consumers and advocacy groups, and (4) identify critical questions related to setting, delivery, payment and effectiveness of rehabilitation services. Plenary presentation and state-of-the-science summaries were organized around four themes: (1) the need for improved The growing population of older adults who sustain strokes, hip fractures, joint replacements, and other conditions, Centers for Medicare & Medicaid Services' (CMS) inpatient prospective payment system (PPS), and technical advances in medical and surgical care have led to increasing demand for medical rehabilitation services. Medical rehabilitation provides crucial services that help people with chronic illness and disability learn to live as independently as possible. In inpatient rehabilitation facilities, physician coordinated, multidisciplinary teams focus on reducing impairments, enhancing independence in daily activities and quality of life, and minimizing caregiver burden. As documented in a recent Medicare Payment Advisory Commission (MedPAC) report , the heaOver the past 20 years the cost of postacute services, including postacute rehabilitation services, have grown much faster than overall inflation, reflecting an increased demand for services and growth in number of providers. The U.S. Congress passed a series of laws intended to reduce Medicare's PAC expenditures by establishing and refining PPSs for rehabilitation hospitals, nursing homes, long-term care hospitals (LTCHs), and home health (HHAs).Changes in payment mechanisms alters providers' incentives and indirectly the organization and availability of PAC. The consequences of payment changes on Medicare beneficiaries' access to high-quality rehabilitation services, independence, and quality of life are unknown. Research on access to, organization of, and the effectiveness of rehabilitation services is needed in order to understand the consequences of new payment mechanisms.Rehabilitation-focused health services research has concentrated on patients' natural recovery in single types of rehabilitation settings \u2013 rehabilitation hospitals and units, SNFs, LTCHs, and HHAs. It is often too expensive and unfeasible to evaluate costs and benefits of rehabilitation across sites of care, let alone specific paths of care, such as from hospitals to nursing homes to home. We know that most patients' functional independence improves during rehabilitation, but we know little about the \"active ingredients\" of rehabilitation and which types of patients are best suited for which setting so that optimal outcomes are achieved at a reasonable cost.Comparing outcomes across postacute settings has been hampered by the lack of a common outcome assessment instrument across settings, or a cross-walk between the instruments used by rehabilitation hospitals, SNFs, LTCHs, and home health agencies (HHAs). Imagine if Maryland's weights and measures differed from California's and Illinois's and Texas's \u2013 and we had no way to convert their measures. With only a bit of hyperbole, this is the situation Medicare finds itself in when trying to evaluate the relative effectiveness and cost effectiveness of rehabilitation hospitals, nursing homes, LTCHs, and HHAs.In the absence of scientific evidence and a way to compare outcomes across settings, Medicare has promulgated rules that limit access to IRFs. The so-called \"75% rule\" and Medicare fiscal intermediaries' \"local coverage determinations\" are based on expert opinion and on a dearth of scientific evidence. In developing these regulations, Medicare was dependent on anecdotal information. While the 75% rule was written to distinguish rehabilitation hospitals and units from acute care hospitals, Medicare revised inpatient rehabilitation facility (IRF) regulations to require explicit documentation of medical necessity and adopted the 75% rule to limit the types of patients admitted. Beneficiaries' access to rehabilitation services could suffer if the truism that \"the absence of evidence of effectiveness does not imply evidence of absence of effectiveness\" is not recognized.The need for expanded rehabilitation-focused health services research was addressed during a workshop in 2005 that was sponsored by the National Center for Medical Rehabilitation and Research (NCMRR) within the National Institute of Child Health and Human Development (NICHD) and the CMS [The Rehabilitation Research and Training Center on Measuring Rehabilitation Outcomes and Effectiveness, funded by the National Institute on Disability and Rehabilitation Research (NIDRR), was asked to lead the planning for what became the Symposium on Post-Acute Rehabilitation. The symposium was guided by a planning committee (see Acknowledgments) with representatives from the American Academy of Physical Medicine and Rehabilitation, the American Congress of Rehabilitation Medicine, the Association of Academic Physiatrists, the Foundation for Physical Medicine and Rehabilitation, the American Hospital Association, and the Federation for American Hospitals. The same organizations provided financial support. Major financial and staff support was provided by the American Medical Rehabilitation Providers Association (AMRPA). Additional sponsors included the American Physiatric Education Council, CARF International (formerly the Commission on Accreditation of Rehabilitation Facilities), Casa Colina Centers for Rehabilitation, eRehabData, Fowler Healthcare Associates, HealthSouth Corporation, IT Health Track, Johns Hopkins University Department of Physical Medicine and Rehabilitation, Kessler Institute for Rehabilitation, Moss Rehabilitation Hospital, MetroHealth Rehabilitation Institute of Ohio, the Rehabilitation Institute of Chicago, and UDSMR.The goal for the symposium was to serve as a catalyst for expanded research efforts on PAC rehabilitation so that relevant research can be used as the basis for policy and funding decisions. The planning committee sought to develop an agenda for research that supports an evidence base for PAC rehabilitation, including issues related to measurement and research design, access to PAC rehabilitation services, organization of rehabilitation services, and outcomes attained for beneficiaries of Medicare and other insurers. The objectives were to: (1) describe the current state of our knowledge regarding utilization, organization and outcomes of postacute rehabilitation settings; (2) identify methodologic and measurement challenges to conducting research in this area; (3) foster the exchange of ideas among researchers, policy-makers, industry representatives, funding agency staff, consumers, and members of advocacy groups; and (4) identify critical questions related to setting, delivery, payment, and effectiveness of rehabilitation services that are of the highest priority for investigation.The activities of the symposium were designed to help formulate a research and policy agenda and to stimulate policy discussions, to engage stakeholders who are involved in policy decisions, and to provide emphasis for the need for an evidence base for rational policymaking. Symposium organizers sought balance in perspectives of key stakeholders, including Congress, the CMS and private insurers, providers of rehabilitation services, patients and their advocates, and health service researchers.The planning committee invited research and policy leaders to present plenary and track-specific state-of-the-science summary speakers, and rehabilitation researchers to provide reports on contemporary work funded by AMRPA, the Rehabilitation Research and Training Center and other agencies. The planning committee invited 3 keynote speakers, former Senator Robert Dole; Laurence Wilson, director, Chronic Care Policy Group, CMS; and Steven Tingus, director, NIDRR. Four plenary speakers were invited to address each of the track themes. Articles by Pamela Duncan and Craig Velozo and discussion leaders summarized the recommendations which appear as the final report in the series. The remainder of this summary encapsulates key points from the plenary and state-of-the-science presentations followed by the track-specific research recommendations.Patient assessment data are collected in 3 of the 4 PAC settings. SNFs use an instrument called the Minimum Data Set 2.0, HHAs use the Outcome and Assessment Information Set, and IRFs use the Inpatient Rehabilitation Facility Patient Assessment Instrument, which includes the FIM instrument. LTCHs do not have a mandate to use an assessment instrument. Although these instruments include similar items, the item definitions and assessment periods are different. Further, for the functional assessment domain, all 3 instruments were designed with a fixed set of items, regardless of relevance. In their plenary session, Duncan and Velozo called fResearch priorities suggested by the measurement and methodology track participants included: develop validated measures of rehabilitation treatments; develop stronger cognitive and psychosocial outcome measures; develop long-term outcomes measures; develop robust severity and selection adjusters across the PAC rehabilitation patient population; assess the role of environmental factors on patient outcomes; and continue development of evidence-based treatment guidelines.Buntin identifiResearch priorities related to access include projecting the PAC needs of the population and determining the range and geographic distribution of existing PAC entities. Research should be directed to understand better how access is influenced by attitudes about family dynamics, social support, and cultural differences, as well as assumptions about the value of improvement for a patient who will not achieve complete independence.Kaplan describeChan describeParticipants in the processes of care track suggested that future research include randomized trials that test individual components of PAC care to determine optimal intensity, duration, and frequency of interventions. To overcome the current barriers of conducting research across provider types, the experiences of other health care systems such as the Veteran's Administration and Kaiser Permanente should be examined.Kane discusseParticipants in the effectiveness group suggested that future research should focus on what kind of treatment, or combination of services, is most effective in achieving specific outcomes for whom across the continuum of care. In addition, better measures of PAC rehabilitation treatments are needed so that key contents or treatments are identified and can be studied systematically and compared across the continuum of PAC. Participants expressed a strong need for a strategic research plan that is shared by payers, providers, research funders, and researchers; a common measurement time period; and collaboration between CMS, National Institutes of Health, the NIDRR, and the research community to provide flexibility within rigorously designed research protocols, because the PPS itself is a primary obstacle to treatment innovation.uSPEQ: Giving Quality a Voice, CARF International's customer feedback service. Keith began his affiliation with Casa Colina in the 1950s. He began volunteering as a clinical psychologist and soon developed a special interest in rehabilitation services, which eventually led him to develop Casa Colina's Research Department. He became a pioneer in the study of rehabilitation outcomes, published extensively, and helped contribute to the development of the industry standard method of assessing functional status. Our accomplishments are a reflection of their dedication and inspiration.Two colleagues who made major contributions to research and policy discussions on rehabilitation outcomes were very much with symposium participants in spirit, though their recent passing leaves us with a major loss. Deborah Wilkerson and Robert Allen Keith made enormous contributions to rehabilitation research. Wilkerson was a researcher, administrator, and national leader on outcomes measurement, rehabilitation services quality, postacute payment policy, and independent living issues. She led the outcomes measurement and performance indicator programs at CARF and spearheaded the research and development for Postacute rehabilitation care is a key component of the health care delivery system, yet we know little about the active ingredients of the rehabilitation process that produce the best outcomes. Well-designed research is needed to develop better measures for case-mix adjustment and outcomes of care. To advance rehabilitation effectiveness research and support the development of evidence-based policies, we must invest in developing new and improve existing measures of patient characteristics, treatment contents, and long-term outcomes. Critical research needs include (1) developing validated measures of rehabilitation interventions and case mix; (2) standardizing PAC measures and timing of routine measurement for payment and quality assurance purposes across sites of care; (3) examining differences in content and processes of care both within facilities of the same type and across types of facilities; (4) identifying patient characteristics that vary by region such as rural and urban mix, cultural characteristics, and provider referral patterns; and (4) implementing a \"strategic plan for effectiveness research\" that is characterized by collaboration between CMS, federal research funders, researchers, and care sites.The organizers and sponsors of this symposium trust that our goal of catalyzing expanded research on PAC rehabilitation is furthered by the publication of this set of articles. Our nation's health policy requires a solid base founded on compelling evidence. We look forward to the benefits of greater research attention to improved measurement and research design, access to PAC rehabilitation services, organization of rehabilitation services, and outcomes attained for patients, taxpayers, and Medicare and other insurers.Archives of Physical Medicine and Rehabilitation .Supported by the National Institute on Disability and Rehabilitation Research through a Rehabilitation Research and Training Center on Measuring Rehabilitation Outcomes and Effectiveness (grant no. H133B040032).No commercial party having a direct financial interest in the results of the research supporting this article has or will confer a benefit upon the author or upon any organization with which the author is associated."}
+{"text": "The establishment and characterisation of six cell lines from primary human colorectal adenocarcinomas is described. These lines were established from surgical specimens, from 49 unselected patients, without the use of 'feeder' cells, 'conditioned' medium or passage of cells in nude mice. The six cell lines exhibit considerable variation in morphology, CEA secretion and tumourigenicity in nude mice. At least two of the lines retain some of the differentiated characteristics of colorectal epithelium."}
+{"text": "The HomB encoded outer membrane protein was shown to contribute to the proinflammatory properties of H. pylori and also to be involved in bacterial adherence.The homB and homA genes in 455 H. pylori strains from East Asian and Western countries, and carried out sequence comparison and phylogenetic analyses.This study investigated the distribution of homB and homA genes were heterogeneously distributed worldwide, with a marked difference between East Asian and Western strains.Both homB and homA sequences revealed diversity regarding the number of copies and their genomic localization, with East Asian and Western strains presenting different genotypes. Moreover, homB and homA sequence analysis suggests regulation by phase variation. It also indicates possible recombination events, leading to gene duplication or homB/homA conversion which may as well be implicated in the regulation of these genes. Phylogenetic reconstruction of homB and homA revealed clustering according to the geographic origin of strains. Allelic diversity in the middle region of the genes was observed for both homB and homA, although there was no correlation between any allele and disease. For each gene, a dominant worldwide allele was detected, suggesting that homB/homA allelic variants were independent of the geographical origin of the strain. Moreover, all alleles were demonstrated to be expressed in vivo.Analysis of homB and homA genes are good candidates to be part of the pool of H. pylori OMPs implicated in host-bacteria interface and also contributing to the generation of antigenic variability, and thus involved in H. pylori persistence.Overall, these results suggest that H. pylori infection is implicated in the development of several gastroduodenal diseases, ranging from chronic active gastritis and dyspepsia to peptic ulcer disease (PUD), and associated with an increased risk for gastric cancer .The sequences used in this study are under the GenBank accession numbers [GenBanK: (PUD): Peptic ulcer disease; (NUD): non-ulcer dyspepsia; (OMP): outer membrane protein; (ORF): open reading frame; (Ks): synonymous substitutions; (Ka): non-synonymous substitutions.MO carried out experimental design of the study, phylogenetic analysis and co-drafted the manuscript; RC carried out bacterial cultures, PCR and phylogenetic analysis; AM co-drafted the manuscript; YY and DQ carried out bacterial cultures and PCR; FM and LM supervised the study. All authors have read and approved the final version of the manuscript."}
+{"text": "The epidemiology of foodborne disease is changing. New pathogens have emerged, and some have spread worldwide. Many, including Salmonella, Escherichia coli O157:H7, Campylobacter, and Yersinia enterocolitica, have reservoirs in healthy food animals, from which they spread to an increasing variety of foods. These pathogens cause millions of cases of sporadic illness and chronic complications, as well as large and challenging outbreaks over many states and nations. Improved surveillance that combines rapid subtyping methods, cluster identification, and collaborative epidemiologic investigation can identify and halt large, dispersed outbreaks. Outbreak investigations and case-control studies of sporadic cases can identify sources of infection and guide the development of specific prevention strategies. Better understanding of how pathogens persist in animal reservoirs is also critical to successful long-term prevention. In the past, the central challenge of foodborne disease lay in preventing the contamination of human food with sewage or animal manure. In the future, prevention of foodborne disease will increasingly depend on controlling contamination of feed and water consumed by the animals themselves."}
+{"text": "The relationship between food intake and cancer of the large bowel was assessed by calculating the average intakes of foods, nutrients and dietary fibre in the different regions of Great Britain and relating these to the regional pattern of death from colon and rectal cancers between 1969 and 1973. No significant associations were found with the consumption of fat, animal protein or beer, nor with current estimates of total dietary fibre intake. Average intakes of the pentose fraction of total dietary fibres, and of vegetables other than potatoes, were negatively correlated with the truncated age- and sex-standardized death rates from colon cancer (r = -0.960 and -0.940). Specific components of dietary fibre may therefore inhibit colon carcinogenesis."}
+{"text": "Tourism has been an instrument of social, cultural, religious, and economic phenomena throughout the globe since ancient time. Progress in opportunities of travel, stay, and information and communication technology has further facilitated people moving from one place to another for leisure, business, education, or medical purpose. A booming economy has far-reaching consequences on all sectors of human development including health. This is true for countries in transition especially India.International tourist arrival throughout the globe was 922 million and India\u2019s share of foreign tourist arrivals (FTAs) stood at 5.4 million during 2008 whereas it was 2.38 million in 2002. Though tThe International Passenger Survey (2003) estimates that about 2.2% of the foreign travelers and 10% of the non-resident Indians (NRIs) visited India with the objective of health care and treatment. India trMedical tourism (MT) involves traveling to an advanced facility in another country for receiving requisite medical/surgical treatment at a much lower cost that is often linked with using the savings to opt for and enjoy a holiday during recovery. However, this is largely true for ambulatory/elective interventions. Some of the favored destinations for MT across the globe include Cuba, Costa Rica, Hungary, Israel, Jordon, Lithuania, Belgium, South Africa, Singapore, Thailand, Philippines, Malaysia, India, and South Korea. MT is noDue to aggressive promotion from stakeholders, Indian private hospitals are increasingly finding a mention in the travel itineraries of foreigners. MT is witnessing an upward trend because India has large number of world heritage monuments, archeological and religious sites, and diverse cultural festivals at one end to state-of-the-art infrastructure and skilled medical manpower that is using innovative technology; quality care of service with high success rate/outcome; compassionate nursing care, English-speaking staff, no waiting time for surgeries; and the most critical element of service delivery at a very affordable cost in comparison to well-developed nations. The indicative cost is shown in On the similar front, outsourcing of diagnostics, promotion of research and development (R&D), rapid growth of research institutes, well-established pharmaceutical industries, initiation of large number of clinical trials, development of newer concepts like surrogate mothers, preservation of cord blood/stem cells, milk banks, and successful use of telemedicine at various settings are some of the catalyzing factors ensuring high visibility and prominence of the Indian health sector in the global news. The rise of Sports Medicine as a subspecialty and successful culmination of Commonwealth Games in New Delhi during the latter half of 2010 will further propagate the phenomenon of MT by leaps and bounds. In addition to above, other value-added service offered in India includes a bouquet of preventive check-ups, wellness therapies, yoga, meditation/spiritual enlightenment, hydrotherapy, mud-therapy, and ayurvedic healing, thus enlarging the scope from \u201cmedical\u201d to \u201chealth\u201d tourism.Tourism is overwhelmingly an industry of private sector although public sector has a significant role to play at different levels including the promotion of public private partnership (PPP). Government of India (GoI) has recognized the economic potential of MT and is promoting this underexplored arena through its market development assistance (MDA) scheme especially for accredited institutions to strengthen the Indian health care brand overseas. Under this, hospital groups will be provided financial assistance for publicity through printed materials, travel and stay expenses for sales-cum-study tours, and participation fees for trade fairs and exhibitions. Calendars of international health events are being planned and the events are being held annually. Efforts are being made for introducing uniform pricing band through various consultative processes by stimulating stakeholders for the formation of common platform/consortium. GoI has introduced medical visa for patients desirous of undergoing treatment in India.On the regulation of human resource for health, Planning Commission (GoI) is encouraging all State Councils to shift to a system of periodical renewal of registration of medical personnel. In the field of paramedical education including physiotherapy and occupational therapy, priority is being given to the establishment of National Paramedical Council as an apex body to determine standards of education/training and to ensure uniform enforcement on the lines of Medical Council of India (MCI) for MBBS/higher courses. In the rTo enhance visibility and scalability and attract more clients, health institutions in India will require intensive efforts on the establishment and compliance of rigorous quality standards, implementation of international best practices, and communication thereof. Health services are increasingly coming under independent evaluation by accreditation agencies in many countries. Accreditation is a voluntary process by which an authorized agency/organization evaluates and accredits health service according to a set of standards describing the structure and processes that contribute to desirable patient outcomes. The patients get services by credential medical staff. Rights of patients are respected/protected and regularly evaluated through patient satisfaction and simultaneously there is an element for professional growth/enrichment.Accredited institutions are potential winners in attracting and retaining foreign clients. Some private health institutions in India have taken up accreditation from JCI and stilIn spite of very optimistic, supportive, and economically driven environment being garnered for MT, some of the issues and concerns could be incentives, concessions and taxation, follow-up services, limited presence of global health insurers, exodus of specialists from public health system to private sector, malpractices by patients/attendants, litigation, legal stay, and import of exogenous infection(s). However, taking a clue from the current scenario, it would be apt to conclude that MT has a huge potential in times to come as more and more foreign travelers will be visiting India for their health needs and keeping an eye on future will lead to quantitative and qualitative gains for both international and national clients."}
+{"text": "The characteristics of sites of intramural cancer spread were examined by comparing theintraductal ultrasonography (IDUS) and wall thickening findings at sites of intramural cancerspread and non-spread, in patients with malignant bile duct stenosis who had undergonepercutaneous transhepatic biliary drainage (PTBD).The subjects were ten patients with extrahepatic bile duct cancer, two with pancreaticcancer, one with cancer of the gallbladder, and one with cancer of the papilla of Vater whounderwent preoperative IDUS. From these patients, 50 IDUS slices were examined with acongruent relationship with the histologic section of resected tissue. The maximumthickening, minimum thickening, maximum/minimum thickening ratio, and form factor of themedial and lateral margins of the medial hypoechoic layer were determined using diagnosticimaging, and the results were compared at sites of cancer spread and non-spread.Twelve slices were obtained from the site of stenosis, 14 from sites of cancer spread, and 24from non-spread sites. The maximum thickening, minimum thickening, and maximum/minimumthickening ratio differed significantly between the sites of spread and the non-spread.The absolute values for wall thickening are useful for diagnosing the presence of intramuralspread in patients with malignant biliary duct stenosis."}
+{"text": "N-deacetylated derivative chitosan, have been identified as versatile biopolymers for a broad range of applications in medicine, agriculture and the food industry. Two of the main reasons for this are firstly the unique chemical, physicochemical and biological properties of chitin and chitosan, and secondly the unlimited supply of raw materials for their production. These polymers exhibit widely differing physicochemical properties depending on the chitin source and the conditions of chitosan production. The presence of reactive functional groups as well as the polysaccharide nature of these biopolymers enables them to undergo diverse chemical modifications. A complete chemical and physicochemical characterization of chitin, chitosan and their derivatives is not possible without using spectroscopic techniques. This review focuses on the application of spectroscopic methods for the structural analysis of these compounds.Chitin, the second most important natural polymer in the world, and its For HPLC separation a different type of column is used, and the mobile phase often consists of acetonitrile or water with added formic acid + and [M + H]+, respectively . This haversus right-handed polarized light that arise due to structural asymmetry [et al. [N-acetylation of low-molecular-weight chitosan (LMWC) prepared from pectolytic hydrolysates of chitosan. Circular dichroism spectra showed a decrease in the segment of N-acetylated glucosamine units in LMWC.CD spectroscopy measures differences in the absorption of left-handed polarized light symmetry . A CD sp [et al. used CD In general spectroscopic techniques are very useful and important in the structural analysis of chitin, chitosan and their derivatives, although we need to mention that there are many other non-spectroscopic analytical methods that are routinely used in such studies: viscosity measurements, thermogravimetric analysis (TGA), differential scanning calorimetry (DSC), isothermal titration calorimetry (ITC), cyclic voltamperometry, high-performance liquid chromatography (HPLC) and size exclusion chromatography (SEC).N-acetylation, pattern of N-acetylation, degree of polymerization, molecular weight, crystallinity, the sequence or degree of substitution, as well as in monitoring reactions, controlling the purity of these compounds and in characterizing their intra- and intermolecular interactions, is discussed. It should also be mentioned that the structural analysis of chitin/chitosan and their derivatives is based on the application of at least a few different types of spectroscopic methods during the same study. The main reason for this is the possibility of obtaining different but compatible and complete information about the structure and physicochemical properties of these compounds, which is impossible using only one spectroscopic technique. Continuous improvements in sampling techniques, analysis software and instrumentation hardware, mean that spectroscopic methods have revolutionized the chemical and physicochemical characterization of chitin/chitosan samples, and are now routinely used by scientists working in the chitin/chitosan field.Chitin and chitosan are natural aminopolysaccharides with unique structures and interesting properties such as biocompatibility and biodegradability; they are non-toxic, have a wide range of applications, and the raw material sources for their production are unlimited. Chemical modification of these polymers results in improved solubility in water or organic solvents, which enhances their biological activities and favors the continuous development of their applications as new functional biomaterials with excellent potential in various fields. In order to acquire a deeper understanding of the mechanism of these properties, it is necessary for chitin/chitosan and their derivatives to be structurally and physicochemically well characterized. Knowledge of the microstructure of these compounds is essential for an understanding of structure\u2013property\u2013activity relationships. Although spectroscopic methods are of great use to scientists working in the chitin/chitosan field, many researchers lack specialist knowledge of these techniques. This paper focuses on the practical aspects of using the five spectroscopic methods most often applied \u2013 X-ray spectroscopy, infrared (IR) and UV-Vis-spectroscopy, mass spectrometry (MS) and nuclear magnetic resonance spectroscopy (NMR-spectroscopy) \u2013 in the structural investigation and physicochemical characterization of chitin, chitosan and their derivatives. The application of other spectroscopic methods is also discussed. This paper provides hands-on information about these valuable research tools, emphasizing practical aspects such as sample preparation or typical measurement conditions, their limitations and advantages, and interpretation of results. The usefulness of these methods in establishing and confirming molecular structures, determining physicochemical parameters such as the degree of"}
+{"text": "In contrast to most other forms of cancer, data from some developing and developed countries show surprisingly similar survival rates for ovarian cancer. We aimed to compare ovarian cancer survival in Philippine residents, Filipino-Americans and Caucasians living in the US, using a high resolution approach, taking potential differences in prognostic factors into account.Using databases from the SEER 13 and from the Manila and Rizal Cancer Registries, age-adjusted five-year absolute and relative survival estimates were computed using the period analysis method and compared between Filipino-American ovarian cancer patients with cancer patients from the Philippines and Caucasians in the US. Cox proportional hazards modelling was used to determine factors affecting survival differences.Despite more favorable distribution of age and cancer morphology and similar stage distribution, 5-year absolute and relative survival were lower in Philippine residents than in Filipino-Americans . After adjustment for these and additional covariates, strong excess risk of death for Philippine residents was found . In contrast, no significant differences were found between Filipino-Americans and Caucasians living in the US.Multivariate analyses disclosed strong survival disadvantages of Philippine residents compared to Filipino-American patients, for which differences in access to health care might have played an important role. Survival is no worse among Filipino-Americans than among Caucasians living in the US. Ovarian cancer is the second most common gynaecological cancer worldwide and the sixth most common cancer in women overall ,2. The mComparisons in ovarian cancer survival between developed and developing nations, as well as between ethnic groups within countries, are few -7, but aIn this paper, we take a \"high resolution\" approach -10 to elUsing the Surveillance, Epidemiology and End Results (SEER) 13 database , ovarianPatient information for residents of the National Capital Region (NCR) of the Philippines was abstracted from the Philippine Cancer Society-Manila Cancer Registry (PCS-MCR) and the Department of Health-Rizal Cancer Registry (DOH-RCR). The registries are regarded as among the high-quality registries from developing countries and have consistently been included in the \"Cancer Incidence in Five Continents\" series -15. TheyUsing the same inclusion and exclusion criteria as for the SEER databases, a list of 2,898 ovarian cancer cases diagnosed between 1998 and 2002 was generated, from which sub samples of 200 cases diagnosed in each calendar year of interest were randomly drawn using the .sample command in STATA version 6 . PatientThe project proposal was approved by the Ethics Review Board of the National Institutes of Health of the University of the Philippines Manila. The information obtained strictly conformed to the code of conduct stipulated by the Guidelines on Confidentiality for Population-based Cancer Registries .To derive survival estimates, cohort-based analyses such as the conventional life-table method or the Kaplan-Meier method ,19 have As commonly practiced in population-based cancer survival analysis, both absolute and relative survival rates were calculated. The relative survival probabilities are estimated as ratios of the observed survival of cancer patients and the expected survival of a group of people with the same age and sex distribution from the general population, and reflect the survival experience of cancer patients in the absence of competing causes of death ,27. UsinTo enable comparison of ovarian cancer survival estimates between different cancer populations, age adjustment was done. Age-specific period survival estimates (absolute and relative), using age groups 15-39, 40-49, 50-59, 60-69 and 70 and above, were first obtained from the Philippine resident, the Filipino-American and the Caucasian populations. The age-specific estimates were then weighted and summed for each population group, using weights from the World Standard Cancer Patient Population (WSCPP) .The differences between survival estimates for the three cancer patient populations were tested for statistical significance using a novel modelling approach for period analysis . First, To explain possible survival differences and identify factors affecting survival, both within and between the three cancer patient populations, the Cox Proportional Hazards model was used. For each population group, bivariate associations of age, stage at diagnosis, histology, and receipt of surgery and of radiotherapy with survival were determined using individual Cox models. A multivariate model was then built jointly for all three groups to compare survival probabilities between populations. Relative hazards were calculated using Filipino-Americans as the reference group, while controlling for the effects of age, stage, histology, surgery and radiotherapy, first individually and then simultaneously. Those with missing information were excluded in the multivariate analysis. The assumption of proportional hazards for Cox models was checked by plotting the log of the negative log of the survival density functions vs the log of survival time. The plotted lines were roughly parallel over time and no violations of the proportional hazards assumption were found.Age at diagnosis was categorized into the age adjustment groupings mentioned earlier. Stage categories were based on the Federation of Gynecology and Obstetrics (FIGO) stages I, II III and IV . HistoloAll analyses were done with the SAS Statistical Analysis Software. Special macros were used for standard and modelled period survival analysis as previously described ,34.A total of 463 Filipino-American and 22,290 Caucasian ovarian cancer patients were included in the analysis, after exclusion of around 1% of cases who are coded in situ and those who were identified by death certificates only (DCO). From the 2,000 randomly sampled patients from the Philippine databases, 1,475 ovarian cancer patients (73.8%) were included after 220 (11%) and 305 (15.2%) patients were removed due to invalid data, such as incorrect age, sex and primary site, and due to the absence of any survival time information, respectively. Of the included patients not known to be dead, complete 5-year follow-up information was obtained for 33.8%, while at least some follow-up could be ascertained for another 41.3%.The distribution of cases by age groups, stage at diagnosis, histology, surgery and radiotherapy are shown for each population in Table Age adjusted and age-specific estimates of absolute and relative 5-year survival are shown in table As shown in table In bivariate comparative survival analysis between population groups table , substanIn this \"high resolution\" study comparing ovarian cancer survival in the Philippine resident and Filipino-American patients, sharing the same ethnicity, and in Filipino-American and Caucasian patients in the US, sharing the same health care system, overall survival differences were found to be relatively small. However, Philippine resident patients showed a more favorable distribution with respect to major prognostic factors, such as age, stage and morphology, and major excess mortality in this patient group was disclosed after control for these factors in age specific and multivariate analysis. By contrast, an apparent survival disadvantage of Caucasian patients compared to Filipino-American patients essentially disappeared after controlling for these factors. Taken together, these results point to the relevance of health care related factors for explaining survival differences.Disadvantages in absolute and relative survival of Philippine residents compared to Filipino-Americans were particularly large for age groups 50-59 and 60-69, which can be explained to some extent by more unfavorable stage distributions. The proportions of patients presenting with advanced stages in age groups 50-59 and 60-69 were much lower in Filipino-Americans than among Philippine residents .In the absence of effective screening methods, only a small proportion of ovarian cancer cases are diagnosed in early stages, where surgery alone will be effective ,35,36. MIn developed countries, survival rates have improved in the recent decades -40, mainIn the NCR, Philippines, adjuvant chemotherapy has been shown to improve survival . HoweverCompounding the problem among Philippine residents is the persistent disbelief in chances to be cured from cancer . In spitWhile much of the differences are likely to be explained by health care access, dissimilar distributions by age, stage and histology suggest a possible role of biological factors. The differences in tumor biology between populations might be reflective of the heterogeneous nature of ovarian cancer, and should be investigated in more detail, given that previous studies have shown significant variation of survival by histologic subtypes ,47-49.Between Filipino-Americans and Caucasians, slightly higher absolute and relative survival rates were observed for the former group. The distributions by age and stage at diagnosis vary between the groups, with Filipino-Americans having more favorable characteristics. The Cox model showed that the higher proportion of Caucasian women with older age and advanced disease explains most of the apparent survival difference. After adjustment for these variables, as well as morphology and treatment, the residual excess risk was small (15%) and not significant. Sensitivity analyses regarding difference in survival estimates between Caucasian population with and without Hispanics did not show a significant difference.Our study is limited to variables that were available and comparable in the databases, and not all possible factors that could affect survival were considered. Information on chemotherapy is not included in the SEER public use database whereas some tumor characteristics such as grade, size and heterogeneity were not available from the Philippine database. In addition, socio-economic status, family history of ovarian cancer and lifestyle factors, like contraceptive use and hormone intake, were also not studied. Similarly, more detailed information on health care access, particularly on access to and availability of various treatment regimens, as well as application of treatment guidelines, protocols used, specialization and expertise of treating physicians, were not obtainable.Patients with invalid data and those who do not have follow-up time were excluded from the study, but it is unlikely that they have higher survival than those who were included. Most such patients have incomplete records and were not traced to other hospitals in the NCR, indicating that they might not have consulted physicians after the initial diagnosis, or have had limited consultations afterwards. They most probably have not received any form of treatment as the availability of cancer treatment is limited outside the NCR. The survival rates presented might therefore overestimate true survival of Philippine residents to some extent.In conclusion, the results of the multivariate analyses disclosed strong survival disadvantages of Philippine residents compared to Filipino-American patients, despite similar overall survival rates observed in the presence of more favorable distributions of major prognostic factors. The survival disadvantage of Philippine resident patients most likely reflects differences in access to and affordability of effective health care and treatment, such as chemotherapy. Emphasis should therefore be given on improving access to and affordability of effective treatment regimens. Prognosis is no worse among Filipino-Americans than among Caucasians living in the US.cancer registry-based study on survival and care of cancer patients; FIGO: Federation of Gynecology and Obstetrics; RR: Relative risk; IACR: International Association of Cancer Registries; IARC: International Agency for Research on Cancer; ICD-O: International Classification of Diseases for Oncology; NCR: National Capital Region; PCS-MCR: Philippine Cancer Society-Manila Cancer Registry; RS: Relative survival; SE: Standard error; SEER: Surveillance, Epidemiology and End Results; WSCPP: World Standard Cancer Patient Population; US: United StatesAPI: Asian and Pacific Islanders; AS: Absolute survival; DCO: Death certificates only; DOH-RCR: Department of Health-Rizal Cancer Registry; EUROCARE: European The authors declare that they have no competing interests.The contributions of the authors are as follows: MTR contributed in the planning of the study, supervised data collection, performed the analysis and wrote the manuscript; AL, MRL, GU, JT and DB planned and supervised data collection, reviewed and edited registry abstracts, and performed data management; AG assisted in the analysis; HB contributed in the planning of the study and supervised data analysis and writing of the manuscript. All authors have read and approved the final manuscript.The pre-publication history for this paper can be accessed here:http://www.biomedcentral.com/1471-2407/9/340/prepub"}
+{"text": "The carcinogenic effects of dimethylnitrosamine (DMN) and nitrosomethylurea (NMU) injected subcutaneously at 3 different dose levels in European hamsters were studied. DMN induced malignant haemangioendotheliomata of the liver and kidney, hepatocellular carcinomata and, in one animal, a cholangiocellular carcinoma. The effect of NMU was localized at the site of administration and resulted in subcutaneous fibrosarcomata, carcinosarcomata or epidermal carcinomata."}
+{"text": "There is no national joint replacement registry in the country of Asia and reports of national outcomes of joint replacement in Asia as yet. Therefore, this study was then to report a national data of the number of hip replacements, incidence rate, demographic characteristics of hip replacement patients, and short-time survival rate after hip replacement of Han Chinese in Taiwan.We analyzed 105,688 cases of hip replacements from National Health Insurance research database between 1996 and 2004. The survival rate of primary hip replacement was estimated for each disease by the Kaplan-Meier method.Average annual number of primary partial hip replacement and primary total hip replacement were 4,257 and 6,206 cases, respectively. The most two common diagnosis of primary partial hip replacement were femoral neck fractures and avascular necrosis . In primary total hip replacements, the most two common diagnosis were avascular necrosis and osteoarthrosis . Both the number of primary partial hip replacements and primary total hip replacements increased steadily between 1996 and 2004. The cumulative survival of primary partial hip replacements and primary total hip replacements in all patients were 93.97% and 79.47% in 9 years follow-up, respectively.Avascular necrosis is the main disease in total hip replacement in Taiwan. The epidemiology of hip diseases was different between Han Chinese (in Taiwan) and Caucasian and the number of hip replacements increased substantially in Taiwan between 1996 and 2004. National joint replacement registry is a good solution to record and publish the information for the orthopaedic community on the outcome of joint replacement surgery. Norway in 1987) [987 [1] aSince the implementation of the National Health Insurance (NHI) in Taiwan in 1995, we have accumulated a huge database of clinical cases greater than 96% of the total population in Taiwan. People have received medical health care coverage from this universal national health care system. There were greater than 95% of all the hospitals contained in the NHI databases in Taiwan . InformaThe purpose of this study was then to report a data of the number of hip replacements, incidence rate, demographic characteristics of hip replacement patients, and short-time survival rate after primary hip replacement in Taiwan.The National Health Insurance program has implemented since March 1995, and the development of the Taiwan's health economy has really taken off. It provides several measures to protect the unemployed, the poor, and the victims of natural and manmade disasters. Moreover, by safeguarding the right of the weak to have access to medical care, the program maintains social order and provides security during this time of economic recession. Until June 2006, there were 22.3 million individuals enrolled in the NHI with a coverage rate of 99% populations (22.7 million) and 18,289 healthcare providers contracted with NHI, representing 91.45% of all providers in Taiwan.In order to survey the results of hip replacement surgery, we analyzed 105,688 cases of registry for contracted medical facilities and inpatient expenditures by admissions from NHI research database between 1996 and 2004, on the basis of the International Classification of Disease, Ninth Revision, Clinical Modification (ICD-9-CM) code for THR (81.51), partial hip replacement (PHR) (81.52) and revision of hip replacement (including PHR and THR) (81.53) listed as the major operation. These cases included 38,349 cases of primary THR, 55,884 cases of primary PHR and 11,455 cases of revision of hip replacement. We excluded 51 cases (26 cases of primary THR and 25 cases of primary PHR) which aged less than 16 years old. The insurance data was registered by physicians before operation. The data of inpatient expenditures contained six categories including personal information, date of inpatient, diagnosis, operation, expenditures, and hospital information. The items including patient identity, date of operation, birthday, gender, diagnosis, and treatment were used in this study. We compared the patient identity between primary operation (PHR and THR) and revision of hip replacement, and found there were 1,201 and 1,905 cases of revision from the failure of primary PHR and THR originally enrolled in the database, respectively. Survival of primary hip replacement was estimated for each disease by the Kaplan-Meier method .The reports of primary THR in Taiwan, Norwegian ,13 and SIt is worth to be taken notice of the difference that the mean age of OA patients in Taiwan (60 years) were younger than Norwegian and Swedish (70 years) as shown in Table This study reported statistical data of primary PHR and THR in Taiwan and showed the difference in epidemiology of hip diseases between Han Chinese and Caucasian. AVN is the main disease in primary THR in Taiwan and it is very different form Caucasian in age and gender. Moreover, mechanical complication of hip prosthesis is the main reason for revision. We should be careful with the generalizing results from western countries to other ethnic groups.The authors declare that they have no competing interests.YS wrote the initial manuscript drafts. HW ensured the accuracy of analysis and revised the initial manuscript drafts. YS and HW participated in the design of the study and performed the statistical analysis. YS and CK conceived of the study, and participated in its design and coordination. All authors read and approved the final manuscript."}
+{"text": "In a series of patients drawn from the Birmingham Regional Cancer Registry (England) with tumours of the salivary glands, a significant excess of second primary tumours was observed. For females, the excess was found mainly in breast and bronchus and, for males, in prostate and skin. In a parallel series of female breast-cancer patients, the observed number of second primary tumours in salivary glands significantly exceeded expectation. These results support the reported association between salivary gland and breast cancer, and suggest that other hormone-dependent sites are also at risk."}
+{"text": "East African countries have in the recent past experienced a tremendous increase in the volume of antiretroviral drugs. Capacity to manage these medicines in the region remains limited. Makerere University, with technical assistance from the USAID supported Rational Pharmaceutical Management Plus (RPM Plus) Program of Management Sciences for Health (MSH) established a network of academic institutions to build capacity for pharmaceutical management in the East African region. The initiative includes institutions from Uganda, Tanzania, Kenya and Rwanda and aims to improve access to safe, effective and quality-assured medicines for the treatment of HIV/AIDS, TB and Malaria through spearheading in-country capacity. The initiative conducted a regional assessment to determine the existing capacity for the management of antiretroviral drugs and related commodities.Heads and implementing workers of fifty HIV/AIDS programs and institutions accredited to offer antiretroviral services in Uganda, Kenya, Tanzania and Rwanda were key informants in face-to-face interviews guided by structured questionnaires. The assessment explored categories of health workers involved in the management of ARVs, their knowledge and practices in selection, quantification, distribution and use of ARVs, nature of existing training programs, training preferences and resources for capacity building.Inadequate human resource capacity including, inability to select, quantify and distribute ARVs and related commodities, and irrational prescribing and dispensing were some of the problems identified. A competence gap existed in all the four countries with a variety of healthcare professionals involved in the supply and distribution of ARVs. Training opportunities and resources for capacity development were limited particularly for workers in remote facilities. On-the-job training and short courses were the preferred modes of training.There is inadequate capacity for managing medicines and related commodities in East Africa. There is an urgent need for training in aspects of pharmaceutical management to different categories of health workers. Skills building activities that do not take healthcare workers from their places of work are preferred. Over the past few years, East African countries have experienced a tremendous increase in the volume of antiretroviral drugs. This is a direct result of the commendable global initiatives towards improving access to effective treatment of HIV/AIDS ,2. Lack To build in-country and regional capacity in pharmaceutical management, Uganda's Makerere University, with technical assistance from the USAID supported Rational Pharmaceutical Management Plus (RPM Plus) Program of Management Sciences for Health (MSH) established the Regional Technical Resource Collaboration (RTRC), a network of academic institutions to build capacity for pharmaceutical management. The initiative , which iA cross-sectional survey of fifty governmental and non-governmental institutions accredited to provide ART services in the four countries was conducted in the months of February and March 2005. One researcher from Makerere University and one in-country collaborator carried out the assessment. The assessment used a qualitative research methodology that included interviewing key informants, in-depth interviews of health care workers, and a survey of health facilities and programs.The survey covered both urban and rural areas and looked at different facets of healthcare provision including, public, private-for-profit, and private not-for-profit sectors. By convenience sampling, a minimum of 10 facilities were targeted in each country and at least three healthcare workers from each facility were interviewed.The assessment was standardized across the participating countries through a planning workshop, which brought together collaborators from Makerere University, Harvard Centre for International health, Management Sciences for Health, and two representatives of the AIDS Control Program from each of the four countries. The workshop reviewed the data collection tools, discussed the assessment logistics and process and agreed on time lines. Data collection tools were piloted at three health facilities and two programs in Uganda and their validity and reliability ascertained. These were later excluded from the main study. Permission to carry out the survey was obtained from the national HIV/AIDS control programs of the respective countries. Appointments with heads of the facilities and respondents were made by personnel from the national AIDS control program in each country.The heads of the National AIDS Control Programs, Ministry of Health Pharmacy Services, and HIV treatment programs were identified as key informants. Using the data collection tool information on; the general features of the country's ARV supply system , qualification and training of health care workers involved in supply management of ARVs and related commodities, and the training needs for the supply management of pharmaceuticals was sought in a face to face interview.The heads of the facilities providing ART services in the four countries were the key informants at the program level. The survey looked at the types of HIV/AIDS services provided, the existence of guidelines for management of ARVs and related commodities, the qualification of healthcare workers managing the supply of pharmaceuticals, existence of any ongoing skills building activities, and areas covered in ongoing training programs.Structured in-depth interviews of healthcare providers were held with physicians, pharmacists, pharmacy assistants, nurses and clinical officers. Information was sought on training background, knowledge of ARV supply management systems and the quality of the service provided.At the end of each survey, questionnaires were checked for completeness, accuracy and consistency. At the end of each assessment, analysis of the data involved discussion with various in-country stakeholders for more in-depth interpretation of perceptions and opinion on possible interventions to address identified problems. Quantitative data were analyzed using EPI INFO Version 3.3, while qualitative data were coded and manually analyzed. No statistical comparisons were made as this was a situational analysis survey without sufficient power for such analysis.National AIDS Control Programs were responsible for the development and implementation of HIV/AIDS treatment policies in all four countries. Public, private-not-for profit and private-for-profit institutions were involved in HIV/AIDS treatment and care in all the four countries. In the public institutions HIV/AIDS treatment was limited to district level facilities or higher at the time of the assessment.A total of 54 facilities involved in ART services were surveyed in the four countries, comprising of 27 public, 18 private not-for-profit, 5 private-for-profit, and 4 academic institutions were delivering a series of training courses on managing procurement and logistics of HIV/AIDS drugs and related supplies . The tarEven though retail pharmacy outlets dispensed ARVs in Kenya, Uganda and Tanzania, clinical training programs on ART seldom included them. Future training initiative should include private pharmacies. In Kenya, policy makers believe that professional bodies such as the Kenya Pharmaceutical Society could contribute significantly to the training of community pharmacists providing ART services.Capacity for ARVs supply management in Uganda, Kenya, Tanzania, and Rwanda were found to be limited due many problems. These problems included poor human resource with inadequate skills and capacity to select, quantify and distribute the drugs, with irrational prescribing and dispensing. This calls for There is thus need to provide training in drug supply management in all four countries. Training processes that include local institutions are more sustainable and likely to cover wider geographical areas. The preferred modes of training are on-the-job training and short courses that do not draw participants away from their workplaces.The authors declare that they have no competing interests.PJW: Participated in designing the study, planning, data collection, data analysis and manuscript writing. ROA: Participated in designing the study, planning, data collection, data analysis and manuscript writing. CO: Participated in designing the study, planning, data collection, and manuscript writing. EO: Participated in designing the study, planning and data collection. WT: Participated in designing the study, planning and data collection. JO: Participated in designing the study, planning and data collection. WWA: Participated in designing the study, planning and data collection. LM: Participated in organizing funding, data analysis and manuscript writing. OA: Participated in applying for funding, designing the study, data collection, data analysis and manuscript writing."}
+{"text": "To the Editor: The global increase of antimicrobial-drug resistance, including resistance to the new and most potent antimicrobial agents, is a major public health concern. In low-resource countries, where bacterial infections are still among the major causes of death, especially for children, it is of particular concern (www.unifi.it/infdis/antres/default.htm). In 2002, the baseline ANTRES study showed a high rate of fecal carriage of Escherichia coli with acquired resistance to several antimicrobial drugs, especially older drugs , in preschool children from 4 urban settings in Bolivia and Peru is a research project on antimicrobial-drug use and resistance in low-resource countries of Latin America and 2 in Peru . The study design, sampling and inclusion criteria, methods, and ethical issues were the same as those of the baseline study . StatistE. coli population in both surveys. The most relevant finding of the 2005 survey was the remarkable increase since 2002 in the resistance rates to fluoroquinolones and expanded-spectrum cephalosporins . The increased prevalence of resistant E. coli strains in preschool children most likely reflects increased exposure within a contaminated household setting, in the food chain, or both (,,Increasing resistance to fluoroquinolones and expanded-spectrum cephalosporins among E. coli, to evaluate the effects of these important reservoirs of resistance genes distributed in the community, to investigate the epidemiologic relationship with clinical isolates, and to define the role of the food supply. Investigation into whether carriage of resistant strains in adults correlates with data on antimicrobial-drug use in hospitals and in the community would also be of interest.Our findings support the need to continue monitoring the evolution of resistance in commensal"}
+{"text": "Symposium: A Practical Approach to Evidence-Based OrthopaedicsThe process of scientific discovery is, in effect, a continual flight from wonder.Albert EinsteinJournal of Bone and Joint Surgery adopted EBM and levels of evidence grading for all clinical papers. Since then, all major North American orthopedic meetings and journals have adopted evidence-based orthopedic teachings in some format or another.Evidence-based medicine (EBM) was recently noted as one of the top 15 medical discoveries over the past 160 years. The term EBM has become so commonplace in the practice of medicine that it seems hard to believe that the term, itself, was only coined in 1990 at McMaster University (Canada). The popularity of EBM has only recently expanded to evidence-based orthopedics. In 2003, the Evidence-based orthopedics requires an understanding of a new language and principle in the evaluation of clinical research and its impact on patient decision-making. While the concepts may not be entirely intuitive, they are an absolute prerequisite to any surgeon who wishes to practice in the era of EBM. Educational efforts have largely focused on medicine with little focus on the unique educational needs of surgeons. The unique features of surgical research and the associated challenges have often been minimized by researchers and practitioners promoting double randomized controlled drug trials as the gold standard.The current symposium has been developed to cover practical concepts of evidence-based orthopedics including its history, definitions, quality of the literature, checklists for surgeons to evaluate orthopedic literature and communication with patients.The core articles were developed by researchers at McMaster University in collaboration with experts from Boston (Massachussetts), Toronto (Ontario), Greenville (South Carolina), Zurich (Switzerland), Kiel (Germany), New Delhi (India) and Pune (India)."}
+{"text": "Concerns about the impact of the oceans on human health can be traced to ancient times. Jewish law prohibited the consumption of shellfish, probably reflecting the fact that filter-feeding bivalves can accumulate pathogens and toxins. The Portuguese explorer Pedro Fernandes de Queir\u00f3s described symptoms associated with ciguatera fish poisoning after eating Caribbean sea bream in 1606, and several of British explorer James Cook's crew experienced similar symptoms after eating fish off the coast of Vanuatu in 1774 [ impacts . A tsuna impacts . LookingDespite concerns about biological, physical and chemical risks, and the possible long-term effects of global warming, the oceans remain a resource of immense value to mankind. Many marine fish and shellfish, for example, are excellent sources of protein, selenium, and omega-3 polyunsaturated fatty acids. Around the globe, the coastal ocean is a recreational destination for a substantial percentage of the human population as well as a venue of intensive commercial activity. In 1999, the National Research Council (NRC) published From Monsoons to Microbes: Understanding the Oceans Role in Human Health , a seminRecognizing the growing need for interdisciplinary basic and applied research addressing the linkages between human health and the oceans, in 2004 the National Science Foundation (NSF) and the National Institute of Environmental Health Science (NIEHS) jointly funded grants establishing four Centers for Oceans and Human Health (COHH). These centers are: (i) the Oceans and Human Health Center at the University of Miami, (ii) the Pacific Research Center for Marine Biomedicine at the University of Hawaii, (iii) the Pacific Northwest Center for Human Health and Ocean Studies at the University of Washington, and (iv) the Woods Hole Center for Oceans and Human Health at the Woods Hole Oceanographic Institution, the Marine Biological Laboratory, and Massachusetts Institute of Technology. Through an internal competitive process, the National Oceanic and Atmospheric Administration (NOAA) in the same year designated three NOAA centers of excellence in oceans and human health under their Oceans and Human Health Initiative (OHHI): (i) the West Coast Center for Oceans and Human Health at the Northwest Fisheries Science Center in Seattle, Washington, (ii) the NOAA Center of Excellence in Oceans and Human Health at the Hollings Marine Laboratory in Charleston, South Carolina, and (iii) the NOAA Center of Excellence for Great Lakes and Human Health at the Great Lakes Environmental Research Laboratory in Ann Arbor, Michigan. The NOAA initiative also includes external competitive grant, distinguished scholar, and traineeship programs.V. vulnificus wound infections have a death rate of some 50% [Vibrio bacteria and Noroviruses) as a result of the consumption of raw and even cooked molluscan shellfish remain a concern [In the United States, one of the motivations for OHH research arises from the fact that some 62 million Americans swim in the coastal waters of the United States and spend 800 million person-days at beaches annually . Wound, some 50% . Public concern ,15. The concern .Oceans and Human Health is a growing integration of several disciplines, from physical oceanography to molecular biology to epidemiology, emerging largely from the recognition that ocean processes have important implications for public health, and human activities can influence these processes. Details on approaches to this new area of concern may be found in the Interagency Oceans and Human Health Research Implementation Plan . The fivThe primary concern regarding microbial pathogens is human exposure associated with the recreational and commercial use of coastal waters containing either indigenous or introduced pathogens. The primary route of transmission is the consumption of seafood, but can occur also by contact with seawater or exposure to marine aerosols and zoonoses. Almost all major bacterial lineages that contain human pathogens have also been detected in samples from ocean environments or organisms. Yet forStaphyllococcus aureus, Naegleri fowleri and Legionella pneumophila). Recent epidemiological studies conducted at recreational beaches impacted by non-point source pollution have revealed no statistically significant correlation between FIB concentrations and morbidity [For years, the standard strategy for monitoring introduced pathogens has been measuring the concentration of so-called fecal indicator bacteria (FIB). There are acknowledged and serious problems associated with the use of FIB for this purpose . These iorbidity . These iorbidity ,19; and orbidity .Vibrio cholerae at natural concentrations in New England estuarine water, suggesting that microarrays may be applicable to broad environmental monitoring of co-occurring pathogens [Polymerase chain reaction methods for example, are being used to rapidly and specifically target microbes of public health concern, including those not examined previously because of an inability to culture them. New molecular assays have been introduced for detection of FIB, bacterial pathogens, viral pathogens, and protistan (protozoan) parasites. And recent methodological improvements are allowing simultaneous detection of multiple targets in a single assay. Scientists from MIT in the Woods Hole Center, in collaboration with colleagues from Northwestern University, have recently developed a protocol involving DNA microarrays that enables accurate identification of specific bacterial sequences in natural samples. Applied to environmental samples, the microarrays are able to detect athogens . OHH resathogens .The acronym \"HAB\" is somewhat misleading since some HAB-designated problems , though caused by algae, are not associated with blooms in any conventional sense of the word, and others are caused by cyanobacteria, which are prokaryotic and, strictly speaking, not algae. Regardless, there are a variety of human health problems associated with HABs. The most common is acute intoxication resulting from the consumption of shellfish or finfish that contain neurotoxins produced by HABs . Other pKarenia brevis blooms off the west coast of Florida by scientists at the University of Miami COHH in collaboration with NOAA OHH researchers [Alexandrium fundyense blooms in the Gulf of Maine by the Woods Hole COHH [In some cases remote sensing has been very successful in detecting HABs (and warning the public). A good example is detection of earchers . Scientiearchers . In Pugeearchers . As withole COHH ,21,23.Pseudo-nitzschia [Vibrio cholerae, for example acquires the cholera toxin gene via phage transduction [A concern with modeling and forecasting is the growing awareness that the abundance and, in particular, the toxicity of HAB species may not be explainable solely in terms of the physics and chemistry of the environment. Interactions with bacteria and/or viruses, for example, may play an important role in toxin production. Interactions with bacteria appear to play a role in the production of the neurotoxin, domoic acid, by the diatom, itzschia . The impsduction ,Another emerging issue has been the discovery by scientists at the Hawaii COHH and others that the neurotoxin, \u03b2-N-methylamino-L-alanine (BMAA), is produced by all known groups of cyanobacteria . BMAA ha2 emissions, fertilization of large areas of the ocean with iron, could also stimulate HABs. Field studies of the impact of iron fertilization by researchers at the Hawaii OHH Center have indicated that pennate diatoms are the primary beneficiaries of iron fertilization; Pseudo-nitzschia, the genus containing a number of species associated with the production of the neurotoxin domoic acid and amnesiac shellfish poisoning, is particularly responsive [In terms of human health effects worldwide, a very important yet poorly understood issue emerging in OHH is the potential impact of climate change on the ecology of pathogens and harmful algal species. Among the eukaryotic microalgae, dinoflagellates are expected to benefit from a warmer climate and more thermally stratified water column . Most HAsponsive .Various agencies, in part through the Centers, are helping to train a new generation of scientists in the interdisciplinary aspects of OHH through the participation of students and post-docs in OHH research projects and related activities, including the NSF-funded OHH research experience for undergraduates (REU) program and a new NOAA-funded OHH Traineeship Program.. Synergistic and collaborative contributions to the ongoing work of the Interagency Working Group on Harmful Algal Blooms, Hypoxia and Human Health have played an important role in the success of the Working Group in producing the first comprehensive assessment of the status of OHH research and opportunities for advancement in this new field [Collaborations among the various OHH centers and other OHH researchers have: (i) produced a noteworthy multi-center and interdisciplinary microbiological study of New Orleans and Lake Pontchartrain following Hurricane Katrina ; (ii) prew field . HopefulThe authors declare that they have no competing interests."}
+{"text": "The objective of this paper was to analyze the data supporting the possible role of melatonin on bone metabolism and its repercussion in the etiology and treatment of bone pathologies such as the osteoporosis and the adolescent idiopathic scoliosis (AIS). Melatonin may prevent bone degradation and promote bone formation through mechanisms involving both melatonin receptor-mediated and receptor-independent actions. The three principal mechanisms of melatonin effects on bone function could be: (a) the promotion of the osteoblast differentiation and activity; (b) an increase in the osteoprotegerin expression by osteoblasts, thereby preventing the differentiation of osteoclasts; (c) scavenging of free radicals generated by osteoclast activity and responsible for bone resorption. A variety of in vitro and in vivo experimental studies, although with some controversial results, point toward a possible role of melatonin deficits in the etiology of osteoporosis and AIS and open a new field related to the possible therapeutic use of melatonin in these bone diseases. Bones are structures under a continuous process of remodelating by the coupled activity of cells with resorptive functions (osteoclasts) and cells responsible for the formation of new bone (osteoblasts). The balance between the activities of both cell types is under the control of systemic hormones including parathyroid hormone (PTH), estradiol E2), and growth hormone as well as of cytokines and growth factors produced in the bone marrow . A major, and groMelatonin is an indoleamine secreted primarily by the pineal gland but also synthesized in other organs such as retina, gastrointestinal tract, and bone marrow. Melatonin plays a regulatory role in many physiological processes including bone physiology \u201310. NoctThe objectives of the current paper are (a) to review the data supporting the possible role of the age-dependent decrease of melatonin in the development of osteoporosis and the therapeutic value of melatonin as a treatment for this disease, and (b) to analyze the evidence related to the role of melatonin in the etiology and treatment of the AIS. Before doing so, we will describe the effects of melatonin on bone physiology, as the basis to understand the participation of this indoleamine in bone pathology.\u03b2-adrenoceptor blockers, serum concentrations of calcium dropped [The effects of melatonin on bone physiology were reviewed in an excellent article by Cardinali et al. . The pos dropped an effec3) were also described. These results led the authors to conclude that lighting conditions influence bone metabolism in rats, and that melatonin likely plays an important role in these photoperiodic effects. Secondary changes in daily IGF-I and T3 oscillations, caused by short- and long-day conditions, also result in altered rhythmicity of daily bone resorption [More recently, Ostrowska et al. re-examisorption . This exsorption . de novo [One interesting finding potentially related to melatonin and bone health is the demonstration of high concentrations of melatonin in bone marrow cells from mice and humans , 33, witde novo . The prede novo , 35. A variety of in vitro studies support the hypothesis of stimulatory effects of melatonin on both osteoblast differentiation and activity. Preosteoblasts cultured in the presence of melatonin underwent early cell differentiation and a major expression of bone marker proteins compared to control cells incubated without melatonin . These e\u03bcM range), (a) stimulates the proliferation and alkaline phosphatase activity of these cells; (b) promotes the expression of type I collagen, osteopontin, bone sialoprotein, and osteocalcin; (c) stimulates the formation of mineralized matrix. The signaling mechanisms mediating the melatonin actions on osteoblasts are still unknown although the role of the MAPK pathway seems relevant [In cultures of human osteoblasts , 40, melrelevant .\u03baB (RANK) on the surface of the osteoclast activating bone resorption [The activity of osteoclasts is under the control of paracrine factors produced by the osteoblasts. PTH and 1,25-dihydroxycholecalcipherol stimulate the expression of an osteoclast differentiating factor (ODF) by the marrow stromal cells and osteoblasts. ODF binds to the receptor activator of nuclear factor-sorption , 41. In sorption . Via thiOne important component of the osteoclasts activity is the generation of free radicals which contribute to the process of bone degradation and resorption . MelatonThere are, however, data contrary to the hypothesis of the effect of melatonin on bone-forming osteoblasts. Ostrowska et al. found, i\u03b1 in MCF-7 cells by mechanisms involving calmodulin [An interesting question is the interaction of melatonin with estrogens at the level of the osteoblast. Estrogens have a positive impact on bone growth. Melatonin, according to the studies summarized above, has similar effects. Under many other circumstances, however, estrogens and melatonin usually have opposing effects. Thus, it is well known that estradiol modulates the function of the melatonin receptors in rat ovary and Chinlmodulin \u201353. A stlmodulin ; howeverlmodulin . The natOsteoporosis is a prolonged structural deterioration of the skeletal system, usually associated with age, and with a major prevalence in women. Antiosteoporosis therapies include the use bisphosphonates, estrogen, and calcitonin to inhibit bone-resorbing osteoclasts preventing further bone breakdown. However, these therapies are insufficient in cases of individuals suffering from severe osteoporosis. Drugs that stimulate bone-forming osteoblasts are expensive and with important associated side effects . These fAt present, no clinical trials have focused on the possible therapeutic value of melatonin in the treatment of osteoporosis. Some epidemiologic studies re-enforce the possible etiologic role of melatonin in osteoporosis. This is the case from a recent study of Feskanich et al. . This grExperimental studies carried out mostly in ovariectomized rats (as a model of menopause) suggest, in general, a protective role of melatonin in preventing bone degradation and promoting bone formation most probably through an action that involves melatonin receptors , 5. AmonAlthough the etiology of the AIS is unclear, histomorphometric data on iliac crest biopsies and vertebrae of scoliosis patients showed an impaired function of both osteoblasts and osteoclasts , 65. TheThe neuroendocrine hypothesis involving a melatonin deficiency as the source for AIS has generated great interest and controversy. This hypothesis, represented in In bipedal pinealectomized rats a reduction in melatonin, as a consequence of the pineal ablation, was found to cause scoliosis . RecentlNot all data support the hypothesis of the reduction of melatonin as the cause of scoliosis. Melatonin therapy after pinealectomy in young chickens had no effect on the development or progression of scoliosis , and cutBipedal ambulation in mammals is required, associated to low levels of melatonin, to generate scoliosis , 86. TheIn humans, the question of the possible role of melatonin in scoliosis has been addressed using different analytical approaches Melatonin seems to promote bone formation and prevent bone resorption via several mechanisms which include the increase in the osteoblastic activity and differentiation, as well as the reduction in osteoclastic differentiation and activity, and by increasing osteoprotegerin expression and scavenging the free radicals responsible of bone resorption. (b) Melatonin may be an etiologic factor in the postmenopausal osteoporosis, and a therapeutic tool for this pathology, as an adjuvant with conventional treatments such as the administration of estrogens. (c) The recent data concerning the association of melatonin and AIS point toward their possible usefulness as both a diagnostic and therapeutic tool. (d) The experimental evidence on animal models suggests the value of clinical trials to assess the therapeutic possibilities of melatonin in bone diseases."}
+{"text": "Molecular pathology, a rapidly expanding discipline connecting pathology and molecular biology, is providing a deeper insight and understanding of the molecular basis of the aetiology and pathogenesis of human disease. This well-laid-out book covers the basic principles of molecular pathology, explains the most important molecular diagnostic techniques in user-friendly language, and describes their applications across a broad range of human diseases and problems, including cancer, hereditary disorders, identity testing, and infectious diseases. The book is divided into 11 comprehensive yet concise chapters, each providing extensive bibliographic references to the primary literature for those wanting to delve deeper into the subject.In the first four chapters the reader is introduced to basic concepts of gene structure and function, epigenetics, Mendellian and non-Mendellian patterns of inheritance, population genetics, types of mutations and chromosomal abnormalities, and modern molecular diagnostic techniques. In chapter five, common inherited diseases such as cystic fibrosis and Huntington's disease are discussed as examples of molecular screening for specific mutated genes or linked DNA polymorphisms now commonplace in clinical laboratories. The material covered in this chapter also includes testing for common mitochondrial and metabolic disorders, and the implementation of newborn and carrier screening programmes. In chapters six, seven and eight, basic concepts of tumour biology are covered, including oncogenes and tumour suppressor genes, programmed cell death (apoptosis) and telomere maintenance, and are reviewed in the context of molecular detection of gene rearrangements, tissue-specific gene transcription and oncogene activation in selected sporadic cancers, haematological malignancies, and familial cancer syndromes. Chapter nine provides a useful introduction to the field of pharmacogenetics and includes examples of genes demonstrating pharmacokinetic and pharmacodynamic variation together with their phenotyping. Chapter ten describes the differentiation of individuals from one another by \u2018DNA fingerprinting\u2019 for purposes of paternity testing, forensic sample identification, and bone marrow engraftment monitoring. The final chapter discusses the diagnosis and monitoring of human immunodeficiency virus and hepatitis C virus infections as examples of how DNA probes for viruses, bacteria, and parasites promise to revolutionise the practice of medical microbiology.Overall the book provides an excellent overview of the ongoing molecular revolution that is now transforming pathology and the practice of laboratory medicine. As well as providing a basic reference text for staff in clinical molecular diagnostic laboratories, it also forms a good basis for tutorials and exam preparations. I would highly recommend this book to scientists and health-care professionals working in the field of pathology, including pathology residents, clinicians, and medical students."}
+{"text": "Although the first case of fibrolamellar hepatocellularcarcinoma (FI-HCC) was described by Edmondson in 1956, and later confirmed in fivepatients by Peters, the majority of reports followed those of Berman A case of FI-HCC, which is rarely diagnosed in Mediterranean countries including Turkey,is presented in the following report."}
+{"text": "Seasonal variation has been described in the presentation and growth of several malignant tumours, including cancers of the breast, uterus, uterine cervix, urinary bladder, liver, lymphatic system and skin, although the mechanisms are not known. We herein describe a circannual rhythm for thyroid cancer , with significantly more cases presenting during the late autumn and winter. In a subset of these cases (127 papillary carcinomas), significant seasonal variations with highest values in autumn-winter were found for tumour diameter and proliferation indicators (S- and G2M-phase fractions). These results indicate the likelihood of a seasonal factor (or factors) of importance for the regulation and modification of tumour cell proliferation. When further clarified, this might be of relevance for the planning of diagnostic and therapeutic strategies."}
+{"text": "Geographical correlations between standardized, mortality ratios (SMRs) of cancers and consumption of different types of alcoholic beverages , of cigarettes, and urbanization were examined for all 46 prefectures in Japan. Suggestive correlations were observed between cancer of the oesophagus in males and both shochu and whisky (r = 0.27 and 0.22 respectively), between cancer of the rectum in males and wine (r = 0.45), and between cancer of the prostate and shochu (r = 0.50). These correlations were also confirmed in the partial correlations between SMRs of cancers and consumption of alcoholic beverages, controlling for the two variables urbanization and consumption of cigarettes. Alhtough cancers of other sites were also correlated with certain types of alcoholic beverages, their associations seemed to be secondary to other factors. The validity of higher-order partial correlations and the problems of correlation study are also referred to."}
+{"text": "Nasopharyngeal cancer (NPC) is a unique disease with increasing interest for many physicians due to its unusual etiology, histology, and epidemiology. The recent era of fiberoptic endoscopy now provides the clinician with better tools for the screening, diagnosis, staging, and follow-up of NPC. Theuse of high resolution flexible and rigid nasopharyngoscopy gives the physician an opportunity fora more sensitive examination in a higher proportion of patients. Ultimately, this will allow for earlierdiagnosis of NPC, and improved prognosis and better quality of life for the patients with this disease.Also, by allowing the clinician to perform directed biopsies of the nasopharynx under localanesthesia, fiberoptic nasopharyngoscopy allows a less morbid and more cost-effective approach towardsthis disease, including screening protocols in certain high risk regions of the world."}
+{"text": "Founded in 1969, the Organisation of the Islamic Conference (OIC) is comprised of 57 nations that together represent the second largest international organization after the United Nations The information in Schistosoma haematobiumS. haematobium infection is associated with reductions in child growth and development similar to those caused by the intestinal helminths Schistosomiasis is also a common NTD in the Islamic world. Almost one-half of the world's schistosome infections occur in OIC member states, especially in Nigeria, Mozambique, Burkina Faso, Mali, and Cote d'Ivoire Ascaris lumbricoides are capable of withstanding the cold and dry conditions that can occur in these countries. Ascariasis and other intestinal parasitic infections are also highly prevalent among children living in the Gaza strip Indeed, several conflict and post-conflict countries in the OIC stand out for their high prevalence rates of NTDs. In Sudan, the high endemicity of trachoma, hookworm and other intestinal helminth infections, and schistosomiasis were already mentioned. In addition, dracunculiasis (guinea worm) is still prevalent, and more cases of guinea worm occur there relative to any other country The health and socioeconomic effects of the NTDs, including their poverty-promoting and conflict-promoting features, should provide strong incentives to try and control or eliminate these infections in the poorest countries of the OIC. Indeed, through mass drug administration with either low-cost generic drugs or drugs donated by multinational pharmaceutical companies, most of the NTDs listed in Through private donations from the Bill & Melinda Gates Foundation and other foundations, the United States government, the British Department for International Development, and the World Health Organization are working together with public\u2013private partnerships aligned through the Global Network for Neglected Tropical Diseases and several non-governmental organizations, including the Carter Center, to implement and integrate mass drug administration for the most common NTDs in more than one dozen endemic countries The impressive establishment of new and distinguished universities in Saudi Arabia, UAE, Qatar, and elsewhere"}
+{"text": "Cryptosporidium parvum.Since the genomic DNA sequence encodes all of the heritable information responsible fordevelopment, disease pathogenesis, virulence, species permissiveness and immune resistance,a comprehensive knowledge of the C. parvum genome will provide the necessaryinformation required for cost-effective and targeted research into disease prevention andtreatment. With the recent advances in high-throughput automated DNA sequencingcapabilities, large-scale genomic sequencing has become a cost-effective and time-efficientapproach to understanding the biology of an organism. In addition, the continueddevelopment and implementation of new software tools that can scan raw sequences forsigns of genes and then identify clues as to potential functions, has provided the finalrealization of the potential rewards of genome sequencing. To further our understanding ofC. parvum biology, we have initiated a random shotgun sequencing approach to obtain thecomplete sequence of the IOWA isolate of C. parvum. Our progress to date hasdemonstrated that sequencing of the C. parvum genome will be an efficient and costeffectivemethod for gene discovery of this important eukaryotic pathogen. This will allowfor the identification of key metabolic and immunological features of the organism that willprovide the basis for future development of safe and effective strategies for prevention andtreatment of disease in AIDS patients, as well as immunocompetent hosts. Moreover, byobtaining the complete sequence of the C. parvum genome, effective methods forsubspecific differentiation (strain typing) and epidemiologic surveillance (strain tracking)of this pathogen can be developed.A lack of basic understanding of parasite biology has been a limiting factor in designingeffective means of treating and preventing disease caused by"}
+{"text": "World Health Organization cites among the main challenges of populational aging the dual disease burden: the greater risk of disability, and the need for care. In this sense, the most frequent chronic diseases during old age worldwide are high blood pressure, type 2 diabetes mellitus, cancer, arthritis, osteoporosis, depression, and dementia. Chronic disease-associated dependency represents an onerous sanitary and financial burden for the older adult, the family, and the health care system. Thus, it is necessary to propose community-level models for chronic disease prevention and control in old age. The aim of the present work is to show our experience in the development and implementation of a model for chronic disease prevention and control in old age at the community level under the active aging paradigm.A longitudinal study will be carried out in a sample of 400 elderly urban and rural-dwelling individuals residing in Hidalgo State, Mexico during five years. All participants will be enrolled in the model active aging. This establishes the formation of 40 gerontological promoters (GPs) from among the older adults themselves. The GPs function as mutual-help group coordinators and establish self-care and self-promotion actions for elderly well-being and social development. It will be conformed a big-net of social network of 40 mutual-help groups of ten elderly adults each one, in which self-care is a daily practice for chronic disease prevention and control, as well as for achieving maximal well-being and life quality in old age. Indicators of the model's impact will be (i) therapeutic adherence; (ii) the incidence of the main chronic diseases in old age; (iii) life expectancy without chronic diseases at 60 years of age; (iv) disability adjusted life years lost; (v) years of life lost due to premature mortality, and (vi) years lived with disability.We propose that the implementation of the model active aging framework will permits the empowerment of older adults, which constitutes basic social capital for chronic disease prevention and control in old age. The challenges of populational aging involve everyone. In this regard, the United Nations reported that in 2007 there were 700 million persons aged 60 years and over on the planet, which represents 11% of the entire world population. Likewise, it is projected that this percentage will increase to 15% by the year 2025 and to 22% by 2050 [On the other hand, the World Health Organization (WHO) cites among the main challenges of populational aging the dual disease burden: the greater risk of disability, and the need for care .The most frequent chronic diseases during old age worldwide are high blood pressure, type 2 diabetes mellitus, cancer, arthritis, osteoporosis, depression, and dementia ,4, In thWe observed the principal repercussions of chronic diseases in old age in terms of physical, mental, and social functionality, affecting basic, instrumental, and advanced activities of daily life. Chronic disease-associated dependency represents an onerous sanitary and financial burden for the older adult, the family, and the health care system ,8.In the Second World Assembly on Ageing held in Madrid in 2002, the relevance of active aging was highlighted as a key strategy for achieving the maximum health, well-being, and quality of life (QOL) of older adults, defining this as \"the process of optimizing opportunities for health, participation and security in order to enhance quality of life as people age\" .Active aging refers to the empowerment of older persons in biological, psychological, and social areas, understanding empowerment as the individual's self-promotion, independence, and self-confidence, as well as his/her right to a dignified way of life according to self-imposed values, the ability to stand up for one's own rights, and to be free . Active Social networks refer to the personal, community, and institutional contacts by means of which the individual maintains his/her social identity and receive material, instrumental, emotional, and informative support Figure . In thesThe type of social support that social networks can afford are the material, instrumental, affective, and informative provisions, real or perceived, provided by family, friends, the community, and formal institutions -11.Our research group developed an active aging model for chronic disease prevention and control in old age at the community level, comprising a big-net of social networks of mutual-help of elders in which self-care is a daily practice ,13.Thus, it is necessary to propose community-level models for chronic disease prevention and control in old age. The aim of the development and implementation of a model active aging is reach the empowerment of elderly-dwelling individuals for chronic disease prevention and control in old age at the community through self-care, self-help and self-promotion.A longitudinal study will be carried out in a sample of 400 elderly urban and rural-dwelling individuals residing in Hidalgo State, Mexico during five years, with a significance level of 0.05, a power of 80% and an expected difference in chronic diseases incidence of 50% between The subjects agreed to participate in the study after giving their informed consent. The Ethics Committee of the Universidad Nacional Aut\u00f3noma de M\u00e9xico (UNAM) Zaragoza Campus approved the research protocol for this study.All participants will be enrolled in the model active aging. This establishes the formation of 40 gerontological promoters (GPs) from among the older adults themselves. The GPs function as mutual-help group coordinators and establish self-care and self-promotion actions for elderly well-being and social development. It will be conformed a big-net of social network of 40 mutual-help groups of ten elderly adults each one, which will be established actions of self-care as daily practice for chronic disease prevention and control, as well as for achieving maximal well-being and life quality in old age.As a key element, the model establishes the training of gerontological promoters (GPs) from among the older adults themselves. The GPs function as mutual-help group coordinators and establish self-care and self-promotion actions for elderly well-being and social development.Self-care at the gerontological level refers to the reasoned theoretically based behavior of the individual that allows the elderly adult to decide and act upon the prevention, diagnosis, and treatment of his/her disease, as well as the maintenance of health and maximum enjoyment of QOL, according to his/her sociocultural context, utilizing formal and informal social networks in optimal fashion during aging. Similarly, the mutual-help including reasoned solidarity-oriented behavior that is adopted by a group of elderly individuals who share like problems and whose members are aware of the advantages and commitments acquired on accepting voluntarily to form part of the group. Concerning self-promotion, this involves the actions that an older adult or a self-help group carries out autonomously, in advance, and in optimal form and considers elements and mechanisms of formal and informal social support networks.The model contemplates a Primary Gerontological Health Care Unit (PGHCU), whose purpose is to coordinate the big-net of social networks of mutual-help groups of elderly adults, in which self-care is a daily practice for chronic disease prevention and control, as well as for achieving maximal well-being and QOL in old age Figure .Mature individuals learn only what they want to learn; (ii)Mature individuals learn only what they are capable of learning; (iii) Mature individuals learn mainly what they teach themselves, and (iv)Mature individuals learn mainly in terms of their experience.The PGHCU linked with Institutions of Higher Education in Gerontology will be responsible for the training of gerontological promoters (GP) following the formal academic structure of a workshop Table and consThe requirements for participating in training courses for GPs are as follows: (i) interest in participating in an intensive training program focused on holistic gerontological development; (ii) 60-74 years of age; (iii) literate; (iv) absence of handicapping illnesses or serious visual or auditory disabilities, and (v) leadership attributes and the ability to coordinate small groups.We will implement a 60-hour workshop that integrated both theoretical and practical aspects (14 weekly sessions). An introductory textbook entitled \"Community Gerontology\" was designed specifically for this aim .Topics for the workshop were selected and approved by a panel of four Gerontologists and took into consideration their basic knowledge on Community Gerontology and age-related changes in the following: biological; psychological, and social aspects; prevention of chronic diseases; healthy lifestyle in the aging period; empowerment, and social networks Table , accordiThe pillars of the model are as follows: gerontological health care; gerontological orientation for families, and gerontological social development.The fundamental objective of GHC is to prevent and detect the diseases of greatest prevalence in the elderly, such as high blood pressure, diabetes mellitus, depression, osteoarthrosis, cognitive deterioration, and osteoporosis, as well as establishing actions of healthy aging for the maintenance, prolongation, and recuperation of physical, mental, and social functionality Figure . The actGPs should possess sufficient knowledge for orienting and training family members to provide basic care for the healthy and ill elderly adult in the home, with the purpose of preventing diseases and/or their complications, in addition to promoting healthy lifestyles for the maintenance, prolongation and recuperation of physical, mental, and social functionality.Among its goals, the model contemplates maximum enjoyment by older adults of their situation of being old. Thus, implantation is recommended of programs of recreation, adaptation, and psychosocial and occupational excelling within an anthropological focus, according to the elderly individual's interests, age, schooling, gender, health state, and socioeconomic situation.The model established flexible general guidelines framed within an active aging paradigm. Therefore, actions for GSD should be adopted by the population in which the model is implemented , as well as by older adult groups of different sociocultural and economic conditions.In 2007, an agreement was signed between the National Autonomous University of Mexico (UNAM) and the Institute for Care of the Elderly in the State of Hidalgo (Mexico) with the objective of implementing a State Active Aging Program according to the model developed at the UNAM (Zaragoza Campus).Among actions implemented within the agreement's framework, we are able to highlight the following: (i) the training of professional personnel of the Institute on the active aging paradigm; (ii) training of gerontological promoters; (iii) the editing of a text on Community Gerontology direct toward elderly adults, and (iv) in 2008, the Institute adopted the Active Aging paradigm as public and strategic policy for care of the elderly.Indicators of the model's impact will be the following: (i) empowerment; (ii) therapeutic adherence; (iii) the incidence of the main chronic diseases in old age; (iv) life expectancy without chronic diseases at 60 years of age; (v) disability adjusted life years lost (DALYs); (vi) years of life lost due to premature mortality (YLL), and (vii) years lived with disability (YLD).Walter (2006) proposes the following seven principles that allow for delineating the components of active aging: (i) participation should contribute to the well-being of the older adult; (ii) it should have a preventive focus; (iii) it should be within the reach of the entire population of elderly individuals, including those who are frailty and dependent, with the degree of participation according to the physical, psychological, and social conditions of the older adult; (iv) it should propitiate the maintenance and strengthening of intergenerational solidarity; (v) it should take into consideration the person's rights and obligations; (vi) it should be participative with empowerment, and (vii) it should contemplate national, local elements and cultural diversity .The following are the pillars of active aging are health, participation, and security: (i) the prevention and control of chronic diseases, as well as maintaining, prolonging, and recuperating physical, mental, and social functionality according to the older adult's age and specific sociocultural context should be considered as fundamental elements with regard to health; (ii) concerning participation, opportunities should be provided that permit older adults to have productive social participation in remunerated and unremunerated activities, in programs linked with social development, work, education, health, cultural and spiritual development, etc., according to elderly persons' rights, capabilities, needs, and preferences; (iii) concerning security, policies should be established that guarantee permanent access to health, alimentation, housing, and well-being for functional older adults, as well as for those requiring instrumental care.On the other hand, active aging as a policy framework constitutes a feasible alternative for substituting the current model, which visualizes the elderly adult as a sickly being and one in decadence, without the possibility of economic and social development. Therefore, the elderly are frequently considered a social and economic burden.The development of community care models within the framework of active aging is a call and a challenge to which we should devote ourselves in all countries. In this regard, we should confront the present hegemonic view of aging within the framework of a structured dependency, which has propitiated a marketing focus in parallel fashion on covering hospital and care needs, developing in parallel great industries of technical, care, and drug industries for aging, which indirectly has negative repercussions on physical, mental, and social functionality . This foOn the other hand, there is an ever greater demand for health care for older adults, outpacing in some cases the resources allocated for this purpose. Thus, there is a need to propose alternative care models that exert a significant impact on cost-benefit and on the QOL of the elderly . In thisIn different studies, the social capital has been recognized of the group of young-old individuals (aged 60-74 years) for active aging, because >80% of this age group are functional and can potentially provide material, instrumental, affective, and informative support to other older adults -24 Figu.We propose that the implementation of the model active aging will permit us to reach the empowerment of older adults for self-care, and consequently prevent and control the diseases chronic, besides its complications.The authors declare that they have no competing interests.VMMN conceived and designed the study, drafted the manuscript. MLMM participated in the design of the study and interviews of the participants. ECM participated in the design of the study and interviews of the participants. All authors read and approved the final manuscript.The pre-publication history for this paper can be accessed here:"}
+{"text": "In the spring of 1999 in rural Newfoundland, abortions in goats were associated with illness in goat workers. An epidemiologic investigation and a serologic survey were conducted in April 1999 to determine the number of infections, nature of illness, and risk factors for infection. Thirty-seven percent of the outbreak cohort had antibody titers to phase II Coxiella burnetii antigen >1:64, suggesting recent infection. The predominant clinical manifestation of Q fever was an acute febrile illness. Independent risk factors for infection included contact with goat placenta, smoking tobacco, and eating cheese made from pasteurized goat milk. This outbreak raises questions about management of such outbreaks, interprovincial sale and movement of domestic ungulates, and the need for discussion between public health practitioners and the dairy industry on control of this highly infectious organism."}
+{"text": "The Second International Conference of the African-Caribbean Cancer Consortium (AC3) was held on May 12\u201313, 2008 at the Wyndham Miami Airport Hotel & Executive Meeting Center in Miami, FL, USA. The conference was organized by the University of Pittsburgh, Graduate School of Public Health and the University of Pittsburgh Cancer Institute.) was established in 2006 for the study of viral, genetic, environmental, and lifestyle risk factors for cancer in populations of African descent [The AC3 . Session I continued with five additional short presentations of research findings by AC3 members -6.The second general session was chaired by Dr. Camille Ragin from the University of Pittsburgh, US and Dr. Norma McFarlane-Anderson from the University of the West Indies, Jamaica. The keynote address was given by Dr. Raleigh Butler from the University of the West Indies, The Bahamas and was entitled: \"Fact, Frictions and Fractions, HPV the Bahamian Experience\". Dr. Butler presented an overview of the Epidemiology of HPV and related cancers and described the current status of this disease among Caribbean populations. Cervical cancer is the second cause of cancer deaths in the Bahamas, and annual cervical screening is performed in less than 10% of this at risk population. Session II continued with four additional presentations of human papillomavirus (HPV) related studies conducted in Caribbean populations -10.Day one of this conference concluded with two Special Topics sessions. The first, \"Sample Collection, Data Sharing and Confidentiality\" was facilitated by Dr. Emanuela Taioli from the University of Pittsburgh. The participants defined appropriate protocols for collection and storage of data and samples as well discussed the importance of standardization in multi-centered collaborative studies. The second Special Topic, \"Building Infrastructure for Multi-Center Studies\" was facilitated by Dr. Judith Jacobson from Columbia University. During this session the participants discussed decisions and steps necessary for obtaining funding and implementing a collaborative study.The day ended with a dynamic poster session and networking dinner reception, where the participants continued their discussions about their research projects and reconnected with their colleagues and met new ones.This session was chaired by Dr. Michael Okobia, from the University of Benin, Nigeria and Dr. Emanuela Taioli from the University of Pittsburgh, US. Dr. Taioli launched the session as the keynote speaker where she presented the descriptive Epidemiology of Breast cancer among individuals of African ancestry; discussed risk factors for this disease and identified the gaps in research for minority populations. Dr. Taioli also presented some of her current research findings from her studies of African American populations. The session ended with three additional research presentations by AC3 investigators -13.Dr. Elizabeth Quamina Cancer Registry in Trinidad and Tobago and Dr. Wallis Best-Plummer representing the Guyana Cancer Registry in Guyana. The presenters provided data from their corresponding cancer registry and were later joined by Dr. Michael Okobia, from the University of Benin, Nigeria for a panel discussion about the establishment process of cancer registries and the challenges surrounding cancer registration in developing countries.The breast cancer session was followed by a Special Topic discussion on Cancer Registration. There were presentations of cancer statistics by Ms. Veronica Roach from The conference concluded with concurrent breakout sessions where AC3 investigators divided into cancer-specific working groups . During these sessions, AC3 investigators discussed the status of the ongoing collaborative studies and defined future studies.All participants were asked to complete evaluation forms for both meeting dates and 95% of the forms were returned. The majority of the participants (65%) reported that, based on their prior knowledge, they learned more after attending the cancer registration session. In general, participants reported that the conference fulfilled their reason for attending (73%). Eight-five percent were satisfied with the conference content, organization (81%), and overall conference experience (85%).The authors declare that they have no competing interests."}
+{"text": "The results of two 5-year studies, for 1974-78 and 1984-88, of cutaneous malignant melanoma (CMM) in Northern Ireland show changes in the presentation of the disease. Although there is some evidence of earlier diagnosis, the rise in incidence has produced an overall increase in the number of cases with advanced disease."}
+{"text": "The conference was sponsored by the following units of the University of Illinois at Urbana-Champaign: Center for Zoonoses Research; Department of Pathobiology; Environmental Council; Host-Microbe Systems Theme of the Institute for Genomic Biology; Office of International Programs and Studies; Program in Arms Control, Disarmament, and International Security; and Conservation Medicine Center of Chicago. Proceedings are available at Jonathan Patz, University of Wisconsin-Madison, opened the conference with a presentation about the effects of deforestation and climate on infectious diseases in the northern region of the Peruvian Amazon. Concomitant with new deforestation, the area experienced a sharp (50-fold) rise in malaria incidence during 1987\u20131997, coupled with an invasion by Anopheles darlingi, the most important vector of malaria in South America. A strong relationship has been found between the extent of deforestation, larval sites of A. darlingi, and abundance of adult mosquitoes. The need for a broad-based policy approach to ecology-disease relationships was highlighted.Paul Gibbs, University of Florida-Gainesville, discussed emerging infectious disease trends. The potential overshadowing of recent, naturally occurring emerging diseases and epidemics by a succession of disasters, both natural and manmade, was examined. Dr. Gibbs presented the global factors that have led to the increased emergence of these diseases, a summary of lessons learned, and a broad agenda for action.Alison Weiss, University of Cincinnati, addressed the reemergence of Bordetella pertussis as a notable health threat despite active vaccination programs. She discussed the increased cases of pertussis during the past 25 years and the shift from a whole-cell vaccine to acellular pertussis vaccines, which failed to reverse this increase. Bactericidal immunity, if achievable, was presented as an option for preventing the disease (whooping cough) and transmission of the agent (B. pertussis).Steven Blanke, University of Illinois at Urbana-Champaign, discussed persistence mechanisms of Helicobacter pylori and explored the hypothesis that phase variation results in altered forms of H. pylori that can withstand the gastric environment. Phase variants of a single gene have been found to demonstrate remarkably distinct properties in terms of stress resistance and virulence factor expression.R. Mark Buller, Saint Louis University, presented evidence that human monkeypox is a poxvirus zoonotic disease. The first US outbreak of monkeypox virus infection in 2003, unlike previous outbreaks in Africa, resulted in no deaths and no documented human-to-human transmission. Evidence supports the existence of monkeypox virus strains that differ in virulence and transmissibility for humans.Ricardo Gurtler, University of Buenos Aires, outlined a longitudinal study of the transmission dynamics and control of Trypanosoma cruzi, the causative agent of Chagas disease, in 3 rural villages in northwestern Argentina. Regular monitoring of insect infestations and parasite infections of triatomine bugs was accompanied by demographic assessments of prevalence and infection in humans and dogs before and after the establishment of community-based surveillance in 1992.May Berenbaum, University of Illinois at Urbana-Champaign, discussed biological invasions that resulted in establishment of nonindigenous species, their role in contemporary global change, and their subsequent economic and ecologic costs. Effects on health are disproportionately large, in part because invasive species often owe their success to unique chemical defense mechanisms and because, without coevolved enemies of their own, they can serve as extraordinarily effective disease vectors.Nina Marano, Centers for Disease Control and Prevention, addressed the need for multidisciplinary public policy responses to emerging zoonoses. In particular, she examined the case of highly pathogenic avian influenza in Southeast Asia and presented recommendations for integrated research approaches.A panel consisting of the conference speakers and local experts explored differences between molecular and ecologic studies, between animal and human studies, and between science and public policy. The panel examined strategies for bridging these gaps. Recommendations from this session will appear in a forthcoming Center for Zoonoses Research white paper."}
+{"text": "The effects of combinations of dipyridamole, an effective blocker of the salvage pathway of DNA synthesis, and 8 types of anti-cancer drugs on the growth of human T, B and myeloid leukaemia/lymphoma cell lines in vitro were examined. In combinations, dipyridamole and vincristine (VCR), and dipyridamole and vindesine had synergistic inhibitory effects. Dipyridamole reduced the efflux of VCR from cells and enhanced their VCR accumulation in a dose-dependent manner at concentrations of up to 10 microM in the lymphoid cell lines, MOLT-3 and BL-TH, and of up to at least 20 microM in the myeloid cell line, ML-1. Dipyridamole also enhanced the accumulation of VCR in PHA-stimulated and un-stimulated lymphocytes of normal donors, but efflux of VCR was more rapid from normal lymphocytes than from cultured cell lines. It is proposed that combination therapy with dipyridamole plus VCR should be effective in the treatment of leukaemia and lymphoma."}
+{"text": "This paper describes an integrated approach to the computerizationof all major disciplines of laboratory medicine and pathology.Installed in the Department of Pathology, Singapore GeneralHospital (SGH), the computer system discussed comprises aRISC-based Data General Aviion 6200 computer and MeditechMAGIC software. The system has been interfaced with thehospital host IBM computer and supports patient informationtransfer, result reporting, phlebotomy management, and compilationof laboratory and financial management reports. The mainfunctions of the system include: on-line and off-line acquisition ofpatient information and test data; preparation of single/combined/cumulative reports; transmission of reports within and betweenlaboratories; instantaneous provision of data in response totelephone enquiries; calculations of quality control/workload/productivity statistics and indices; and generation of billing lists.The computer enables reports to be provided on patient tests resultsin individual wards, at various specialist out-patient clinics, and inthe Accident and Emergency Department of the SGH through theIBM mainframe, as well as to remote printers installed at severalother major hospitals.The use of the MAGIC integrated laboratory informationsystem has resulted in a significant increase in laboratory efficiencyand productivity."}
+{"text": "The first-ever National Summit on Neglected Infections of Poverty in the United Stateswas held October 27, 2009, in Washington, DC, bringing together key leaders in publichealth, public policy, and government. Organized by the Eisenhower Institute, the GeorgeWashington University, the Adler School, the American Public Health Association, and theCenters for Disease Control and Prevention, the goal of the summit was to raiseawareness about neglected infections of poverty in the United States and identifyresources and actions to address them.Neglected infections of poverty are a group of chronic and debilitating parasitic andother infections that disproportionately affect peopleliving in poverty. Major neglected infections of poverty in the United States includetoxocariasis, trichomoniasis, toxoplasmosis, cysticercosis, Chagas disease, andcongenital cytomegalovirus infection improve understanding of theimpact and geographic distribution of neglected infections of poverty; 2) enhanceunderstanding of modes of transmission and human ecology of infections of poverty; 3)enhance prevention and promote research and development; and 4) disseminate informationto multiple audiences. Through a wide-ranging and rich dialogue, summit participantsdeveloped 4 priority areas for follow-up. These areas will be pursued by working groupsconvening in early 2010.Outreach and mobilizationData and surveillance needsEconomic impact of neglected infections of povertyResearch and development needshttp://inside.gwumc.edu/niops/ or contactneglectedinfectionsofpoverty@cdc.govFor further information see"}
+{"text": "The conference centered on chronic intracranial hypertension (IH) including the latest research and clinical information. It was sponsored by the Intracranial Hypertension Research Foundation and held at the University of Texas Medical School, Houston, on June 21\u201322 The Intracranial Hypertension Research Foundation (IHRF) in Vancouver, Washington, promotes research into the pathophysiological basis of chronic IH and the evolution of better treatment and, ultimately, a cure. IHRF is a multi-functional organization. It not only encourages research, but also facilitates understanding and management of chronic primary and secondary IH, through research, training and education programs worldwide.IHRF sponsors programs for researchers and clinicians, as well as educational conferences for patients and families. The Houston conference was attended by 108 patients and family members who heard presentations by nine clinicians and researchers.Patients asked many questions during extensive panel sessions. The conference also allowed patients to speak about personal experiences with the disorder. IHRF held the first conference on chronic IH in 2006 at the Oregon Health & Science University (OHSU). A wide variety of subjects were presented to enhance patient knowledge and awareness. Patient education importantly improves patient insight about the disorder. It also facilitates active cooperation with their physicians. Understanding limitations of accepted medical and surgical treatment leads to realistic goals in management.Additionally, patient education is vital in controlling health care costs.The opening presentation by Conrad Johanson, Professor of Clinical Neuroscience at Brown University dealt with CSF production in the choroid plexus and its possible role in IH. Covered in the lecture was the structure of the choroid plexus, the dynamic turnover of ions and water in CSF production by the choroidal epithelium, the transport of CSF solute for the brain, and homeostasis of CNS extracellular fluid. A discussion of translational research goals involving the choroid plexus and CSF and possible directions for research in IH concluded the presentation.John McGregor, Associate Professor of Neurosurgery at Ohio State University, spoke on \"Neural Hydrodynamics Disorders: Hydrocephalus, Intracranial Hypertension and the Chiari Malformation. Relationships, Similarities and Differences\" which was followed by two lectures covering CSF shunt and valve technology. The latter two presentations discussed in depth the available technology with details of the features of each device.The conclusion was that despite the numerous designs, the overall success rate for the various shunts and valve equipment are similar. Better designed shunts are greatly needed.The next lecture by Conrad Johanson: \"Current Theories on Causation and Reduction of Elevated CSF Pressures: Implications for Intracranial Hypertension\", began with a discussion of CSF fluid dynamics centering on CSF reabsorption including the controversial arachnoid and CSF lymphatic drainage. The role of neuropeptides such as atrial natriuretic peptide (ANP) in CSF production and the role of growth factors like basic fibroblast growth factor (FGF2) in CSF reabsorption, were identified. The intriguing possibility of peptides as pharmacological agents in controlling intracranial pressure (ICP) was thought provoking and stimulating, especially since no specific drug is available to control production and egress of CSF.Steven Katz, neuro-ophthalmologist and Associate Professor of Ophthalmology at Ohio State University, lectured on the symptoms and signs in idiopathic intracranial hypertension (IIH) and the medical management options. He discussed approaches that work best in his practice. Steven Katz had previously demonstrated the somatostatin receptors 1 and 2 in normal human choroid plexus and arachnoid granulations and thus surmised that somatostatin is involved in CSF production and egress. His preliminary clinical use of octreotide, a peptide that mimics somatostatin, was discussed, including the potential complications of somatosatin analogs to control IH. Steven Katz described his techniques for optic nerve sheath decompression and demonstrated findings from many of his procedures. He attributed excellent outcomes to reduced surgery duration, i.e. especially the time of optic nerve stretching. He emphasized that short exposure and optimal surgical approach lead to minimal diplopia, ptosis and most importantly, minimal vision loss.Marc Criden, neuro-ophthalmologist and Assistant Professor of Ophthalmology at the University of Texas, Houston, presented an updated overview of pediatric IH. In children under 10 years, gender and weight are not the factors they are in adults. He pointed out that many physicians consider IH in children under 10 to be a different disorder because of these characteristic differences. Headaches associated with IH and how best to manage them were discussed by neurologist and neuro-ophthalmologist, Leonard Hershkowitz of Baylor University. He indicated his management techniques that worked well for him.A reception followed in which patients again communicated with the speakers.The 2nd conference day opened with a discussion of the mission and goals of IHRF and a review of IHRF-sponsored research by Emanuel Tanne, Clinical Assistant Professor of Ophthalmology, OHSU and president of IHRF. He pointed out that IHRF works to remove significant obstacles to research: under-funding, under-coordination of effort, incomplete recognition of the life-altering effects of IIH, and low recruitment of researchers in this area. IHRF funded animal model development projects at the University of Chicago and the University of Arkansas. Under investigation is a knockout mouse that develops IH shortly after weaning. Other research areas included joint testing at the University of Utah of a NASA-developed, non-invasive, closed loop ultrasound device to measure ICP in microgravity and an investigation of vitamin A receptors in arachnoid granulations at Ohio State University. IHRF also partners with the Casey EyeInstitute, in regard to the Intracranial Hypertension Registry at the Oregon Health & Science University, Portland. The IH Registry is a relational database management system designed for medical research. Emanuel Tanne discussed ongoing Registry research, including studies in genetics, economics, weight gain and pregnancy. Jessica Tanne, IHRF Director, Communications & Development, discussed raising community awareness, fundraising and the importance of becoming an IH ambassador. Illustrating and discussing their fundraising creativity were Dori Clements and Jacque Tate, both parents of IH children.Clark Sitton, Assistant Professor of Radiology, University of Texas, Houston, discussed types of imaging studies and the goals of imaging in IH. He presented an extensive collection of studies demonstrating pathological findings associated with IH.Bariatric surgery as a possible option in the management of IH was presented by Erik Wilson, Assistant Professor of Surgery, University of Texas, Houston, who covered risks and benefits of bariatric surgery, using his extensive experience as a guide. He also discussed types of procedures available and his personal approach to follow-up and long term goals for patients. Marc Criden presented a new hypothesis to consider for clinical management of chronic IH: establishing target pressures for each patient with IH. The hypothesis arose out of his and Steven Katz's experience with patients at the last IHRF patient conference, where they were impressed by the variety of symptoms and patient reports contradictory to current teaching. They hypothesized that chronically elevated ICP is neurologically damaging, even in patients without significant visual dysfunction or intractable headache. They are presently investigating and evaluating this hypothesis. The final speaker, Kapil Kapoor, resident in ophthalmology at the University of Texas, Galveston, presented his research on hyposmia and IH. He found that patients with elevated ICP have a decreased sense of smell and concluded that other nerves such as the olfactory nerve may be functionally compromised in the setting of IH by a mechanism similar to that of optic nerve compression. Therefore, it may be appropriate to consider IH as a more global neuroanatomic insult of augmented CSF pressure than previously considered.While the intent of educating patients was admirably accomplished by this conference, the conference served as a unique experience for researchers and clinicians to hear from a large group of patients about the nature of their disorders. Therefore, not only did physicians from a variety of sub-specialties have an opportunity to exchange ideas and explore future collaborative projects they also left with a different perspective of chronic IH and a new appreciation of patient-centered conferences as a mechanism to expedite translational CSF research.The author declares he has no competing interests.I am the sole author and have read and approved the final version of this paper."}
+{"text": "The well-known association between vte modern molecular techniques vte trials of cancer therapy have defined additional risk factors that compound the thrombotic risk The burden of venous thromboembolism (vte has been associated with a high risk of recurrent thrombosis and of bleeding complications vte are at increased risk of mortality vte prevention and treatment in cancer patients, and sets the stage for future directions in this important domain The treatment of cancer patients for The inherent properties of blood vessels, endothelial cells, adhesion receptors, and soluble plasma coagulation proteins render these structures and molecules important in the propagation of coagulation and the regulation of cancer-cell growth. Perturbation of these components by cancer treatment interventions such as surgery, chemotherapy, and supportive care can further exacerbate prothrombotic properties.vte, as are certain cancer types, including pancreatic, stomach, brain, lung, and hematologic malignancies. In cancer patients, vte is not only a frequent cause of death, it also identifies a patient population with poor prognosis, and it is both clinically challenging and financially costly to treat. As cancer treatment modalities evolve, differences in the added thrombogenic risk for patients also emerge\u2014for example, the addition of anti-angiogenic therapy is associated with one of the highest risks of thrombotic complications.Advanced cancer is more often associated with vte, how should thromboprophylaxis for cancer patients be optimized?Given the strong association of cancer and Current Oncology, patients undergoing cancer surgery and those hospitalized for investigations and treatment of cancer are good candidates for appropriate thromboprophylaxis vte should be considered for long-term low molecular weight heparin therapy, given the more favourable clinical outcomes seen as compared with the outcomes seen with traditional oral anticoagulant therapy.Clearly, as recently reviewed in vte, and participation in good clinical trials evaluating cancer and coagulation should routinely be part of our comprehensive care of cancer patients.The recent guidelines from the American Society of Clinical Oncology underline the importance of optimizing anticoagulation management of cancer patients. The practice of appropriate thromboprophylaxis, up-to-date anticoagulation of cancer-associated"}
+{"text": "It was launched on July 2 The specific objectives of i-FAB are to:(i) Increase the profile of foot and ankle biomechanics research within academic, clinical and industry communities(ii) Promote the value of foot and ankle biomechanics research to research users (iii) Develop a coordinated approach to addressing the challenges of experimental and computational biomechanics of the foot and ankle(iv) Enable better coordination of multidisciplinary research(v) Enable more effective coordination of foot and ankle biomechanics research between groups in different countriesA Steering Group has been formed to guide the initial development of the i-FAB community and its activities. The Steering Group seeks to construct a framework for developing i-FAB to meet the needs of the foot and ankle biomechanics community and welcomes input and direction from members.In September 2008, we had our first congress at Istituto Ortopedico Rizzoli, Bologna, Italy, chaired by Dr. Alberto Leardini. A mix of 150 lectures, posters and workshops were presented to 170 delegates from 30 different countries. Highlights included a live operation of a total ankle replacement by Professor Sandro Giannini, hands-on multi-segment foot kinematics demonstration by Professor Maria Grazia Benedetti, and keynotes lectures by Professor Harold Kitaoka , Professor George Arangio (Sailing charted seas: biomechanics and the orthopaedic surgeon), Dr. Mario Lafortune (The role of research in the development of athletic footwear), Professor Peter Cavanagh (Foot complications of diabetes), Dr. Sorin Siegler (Advances in image-based biomechanics of the human ankle) and Dr. Marco Viceconti .in vivo axes of the subtalar and talocrural joints using functional MRI during foot plantarflexion and dorsiflexion [Journal of Foot and Ankle Research [The Best Paper of the Congress was awarded to Dr. Frances Sheehan from the Physical Disabilities Branch of the National Institutes of Health, Bethesda, MD, USA for her paper 'Direct in vivo quantification of the 3D talocrural and subtalar finite helical axes' about a revolutionary non-invasive technique for quantifying the 3D iflexion . Dr. SheResearch and can th to 18th 2010. We anticipate an outstanding program covering both basic and clinical aspects of foot and ankle biomechanics together with a social program that will exploit the resources of the Pacific Northwest.Planning for three i-FAB activities is presently underway: website, 2010 congress, and e-communications. The website and e-communications are the start of a global \"collaborative workspace\" in which all members of the foot and ankle biomechanics community can engage. This collaborative workspace will harness the most recent IT developments for supporting the organisation and coordination of activities across traditional disciplinary boundaries and between groups who are geographically distributed. We are pleased to announce that the 2010 i-FAB congress will be at The University of Washington in Seattle between September 16One exciting goal of i-FAB is to promote and advance research in the field of foot and ankle biomechanics by providing up-to-date consensus based standards for the study and description of foot and ankle kinematics. We have assembled a committee to provide standardised quantitative morphological databases and periodic reviews of the state-of-the-art in foot and ankle kinematic research.i-FAB welcomes members from every community related to foot and ankle biomechanics, from academics, physicians, podiatrists, surgeons, and health professionals, to members of the footwear, orthosis, surgery and related industries. i-FAB has an open philosophy and connecting people across traditional disciplinary boundaries is one of its key objectives. Membership is presently free. Further details regarding i-FAB can be found on our website ."}
+{"text": "We examined the liver of adult polar bears, arctic foxes, and rats by gold chloride staining, fluorescence microscopy for the detection of autofluorescence of vitamin A, hematoxylin-eosin staining, staining with Masson's trichrome, Ishii and Ishii's silver impregnation, and transmission electron microscopical morphometry. The liver lobules of the arctic animals showed a zonal gradient in the storage of vitamin A. The density of hepatic stellate cells was essentially the same among the zones. These results indicate that the hepatic stellate cells of the polar bears and arctic foxes possess heterogeneity of vitamin A-storing capacity in their liver lobules. Hepatic stellate cells are located in the perisinusoidal space of Disse and extend their thin fibrillar processes into this space ,2. UnderAlopex lagopus) during the period from August 1996 to September 2001. Three polar bears (Ursus maritimus) were shot in self-defense in February and August 1998. We examined the liver of these animals by gold chloride staining, fluorescence microscopy for the detection of autofluorescence of vitamin A, hematoxylin-eosin staining, staining with Masson's trichrome, Ishii and Ishii's silver impregnation, and transmission electron microscopical morphometry using a division map of liver lobule for a zonal analysis (Figure After having obtained permission to hunt animals from the District Governor of Svalbard, we caught 11 arctic foxes (The liver lobules of the arctic animals showed a zonal gradient in the storage of vitamin A Figure . The graResults of this study indicate that arctic animals possess the intralobular heterogeneity of vitamin A-storage capacity in the hepatic stellate cells.In earlier studies, a specific zonality for intralobular vitamin A-storage was reported. Although our results agree with other reports as to the presence of the heterogeneity of vitamin A-storing lipid droplets in the hepatic stellate cells in the liver lobule ,5, the lThe existence of the intralobular heterogeneity of vitamin A storage would relate to the number of hepatic stellate cells within the each zone or the maturation of hepatic stellate cells itself . HoweverHence, we speculate that the intralobular distribution of CRBP in the liver of polar bears and arctic foxes may also show similar heterogeneity to that in the rats, and have effects on the intralobular heterogeneity of storing vitamin A in the livers."}
+{"text": "The search for the infectious agents responsible for cat-scratch disease, bacillary angiomatosis, and related syndromes has a long and often circuitous history. Recognition of the etiologic agents and a new understanding of the fundamental features of the epidemiology and natural history of modern day Bartonella -associated diseases culminate a multipartite story that combines clinical medicine, traditional microbiology, and novel technological approaches to solve a long-standing enigma."}
+{"text": "The study group included 684 cases: 258 patients with breast carcinoma, 113 males with lung cancer, 42 patients with rectal tumours, 42 patients with stomach tumours, 59 patients with fibroadenomatosis, and 170 healthy subjects of varying age . A relatively high blood triglyceride level was found in patients with breast, lung, rectal , and stomach tumours. The blood concentration of high-density lipoprotein-cholesterol in patients with breast, lung, and stomach tumours was relatively low. The elimination of tumour (breast carcinoma) did not lead to significant changes in lipid metabolism. There was no correlation between degree of lipidaemia and stage of tumour progression except in the cases of rectal cancer. Preliminary results are presented on the tentative classification of hyperlipoproteinaemia in tumour patients, using the lipid concentration threshold values advocated by Carlson et al. (1977); an increased frequency of Type IV hyperlipoproteinaemia proved to be the most characteristic feature of tumour patients. The results are discussed in terms of the concept of the importance of lipid metabolic disturbances, primarily those due to ageing, in the genesis of the syndrome of \"cancerophilia\" (predisposition to cancer)."}
+{"text": "British Journal of Cancer (2002) 86, 1528\u20131528. DOI: 10.1038/sj/bjc/6600300www.bjcancer.comCancer Research UK\u00a9 2002 E Edmund Kim and David J Yang. Publishers: Springer-Verlag, 2001. ISBN 0-387-95028-1. \u00a3120.50, $169.00.As the foreword to this book states, our passage into the new millennium gives the opportunity to use the medical achievements of the past 1000 years to develop treatment strategies for the future. It describes and explains the roles that imaging plays in the emergence of new diagnostic and therapeutic procedures.Increased knowledge regarding the genetics and the molecular biology of tumour development offers the potential of new targets of therapy. However, devising methods with which to determine the existence, and the evaluation, of novel diagnostic and therapeutic strategies in cancer remains a challenge. Improved imaging techniques and the radiolabelling of tracers and drugs are making non-invasive imaging of molecular targets possible, thereby facilitating the translation of these scientific breakthroughs into clinical practice.This book provides an excellent review of imaging technologies and their role within oncological treatment strategies. It begins with a basic science chapter giving a very structured and readable background to the molecular genetics of cancer, cancer cell immunology, biochemistry and pathology. This chapter explains DNA replication and the genetic mutations that give rise to the activation of oncogenes and the inactivation of tumour suppressor genes in neoplasia. It discusses the role of cellular immunology, including T-cell and B-cell immunity and cytokine interactions, providing an insight into active and passive immunotherapy in the treatment of cancer. This gives the reader a good platform from which to proceed with the subject of molecular targeting.The following chapters cover the principles of each of the imaging technologies available, and include the techniques of ultrasound, computerised tomography (CT), magnetic resonance imaging (MRI) and spectroscopy (MRS), single positron emission tomography (SPECT) and positron emission tomography (PET). Each chapter addresses the difficult topic of technique methodology and the authors manage to describe this in a surprisingly straightforward manner. Obviously, some chapters are slightly more complicated than others, but in general the points are made clearly and simply.Having set the scene and discussed the various advantages and disadvantages of each imaging method, the second part of the book gives examples of the ways in which they can be used to image molecular targets utilising, for instance, radiolabelled antibodies and radiopharmaceuticals. Chapter 5 provides an overview of some of the radiopharmaceuticals that target tumours, concentrating on the rationale and the results of these studies.The radiolabelled antibody chapter, Chapter 6, is particularly interesting. It covers the production of monoclonal antibodies from hybridomas, made from the fusion of myeloma cells and B-lymphocytes, through to current phage library techniques. The importance of optimising antibody selection for tumour targeting, in particular the kinetics according to fragment size, is highlighted. Finally, the radioisotopes available for antibody radiolabelling are discussed. The following chapter expands upon this theme by demonstrating the possibility of radioimmunodetection of different tumour-marker expressing cancers using commercially available monoclonal antibody conjugates, such as ProstaScint (Cytogen) for prostate carcinoma, CEA-Scan (Immunomedics) for colorectal cancer and OncoScint (Cytogen) for colorectal and ovarian cancer.The potential value of polymer-drug conjugates and macromolecular contrast media imaged with MRI are described, together with the use of paramagnetic radionuclides to label monoclonal antibodies, and newer contrast agents, to aid in specifically targeting these for magnetic resonance imaging. This, thereby, expands the use from gadolinium-based interstitial agents to agents tailored to specific clinical applications.99mtechnetium-sestamibi scans in SPECT and fluorine-18 fluorodeoxyglucose scanning in PET. The main thrust of these chapters is to describe those radiotracers with established roles in oncology, with suggestions of those requiring further investigation.Dynamic PET images have been likened to displaying \u2018slices of life\u2019, however the expense of performing these scans generally confines their use to academic and teaching medical centres. On the other hand, SPECT is more accessible. Both techniques provide 3-dimensional images of the distribution of radiotracers and the chapters regarding targeted SPECT and PET provide data and images of gallium-67, thallium-201, The final third of the book expands upon the roles of the different techniques for imaging the processes important in tumour development and survival, in particular angiogenesis, hypoxia, apoptosis and signal transduction. The potential for imaging anti-cancer drugs themselves, including anti-sense oligonucleotides, gene delivery and expression, is also discussed. Illustrations are shown and the images and results are discussed providing a vast array of potential and future applications for targeting imaging.Overall, this is a very informative, readable book. The chapter sizes are easily digestible and there is a clear progression through the book presenting a succinct and balanced picture of the methodologies available. The black and white images of the techniques and the targets help to enlighten the reader visually regarding the text. I thoroughly enjoyed reading the book and learning from it. I would recommend it to both the reader with some knowledge wishing to explore the topic further as well as to those wanting a basic introduction and background to the subject."}
+{"text": "Acute aortic dissection can occur at the time of intense physical exertion in strength-trained athletes like weightlifters, bodybuilders, throwers, and wrestlers.Rapid rise in blood pressure and history of hypertension are the most common causes of aortic dissection in athletes. It is a very tragic event because of its high mortality rate of about 32% in young patients. We report a case of aortic dissection in a young weightlifter with an extensive intimal tear of the aorta, from the sinus of Valsalva to the abdominal aorta. Acute aortic dissection results from a tear in the intima and media of the aortic wall, with the subsequent creation of a false lumen in the outer half of the media and elongation of this channel by pulsatile blood flow. Dissection of the aorta is associated with a high degree of morbidity and mortality despite continuing improvements in diagnostic and surgical techniques , and hypA 37-year-old Iranian man with a history of hypertension and long history of weightlifting was admitted to our hospital complaining of knifelike retrosternal chest pain, which was abrupt while lifting weight, accompanied by severe sweating and palpitation. Distal pulses were weakly palpable. Electrocardiography showed non-sinus arrhythmia, Wolf-Parkinson-White (WPW) syndrome, and Q in lead III and avf. Echocardiography findings were normal left ventricular size with concentric left ventricular hypertrophy (LVH), left ventricular ejection fraction (LVEF) of about 55%, dilated ascending aorta of about 56 mm, and mild mitral regurgitation. In addition, the intimal flap in the ascending aorta was seen collapsed. The diagnosis was obtained by computed tomography (CT) angiography, which showed a typical aspect of type A of Stanford classification of aortic dissection fig . The intThe cardiovascular system adapts to exercise. Top-level training is often associated with morphological changes in the heart including increases in the left ventricular chamber size, wall thickness, and mass. The increase in the left ventricular mass as a result of training is called\" athletes' heart\" . MorganrWe strongly advise that athletes with one of the predisposing factors for aortic dissection eschew intense physical exertion. Unfortunately, survival after such dissections is extremely unanticipated because of the lengthy extension of the intimal tear, massive hemorrhage, and organ dysfunction. WPW: Wolf-Parkinson-White; CT: Computed tomography; LVH: Left ventricular hypertrophy; LVEF: Left ventricular ejection fraction; ICU: Intensive care unit; CPR: Cardiopulmonary resuscitation; CPB: Cardiopulmonary bypass.The authors declare that they have no competing interests.AK carried out the surgery and was directly involved in the conception, design and drafting of the manuscript. SS participated in the diagnosis and treatment; also gave critical comments on the results. PY collaborated in the design of the study and was directly involved in drafting and revising the manuscript. All the authors read and approved the final manuscript.Written informed consent was obtained from the patient's family for publication of this case report and accompanying images. A copy of the written consent is available for review by the Editor-in-Chief of this journal."}
+{"text": "The study of cell behavior is of crucial importance in drug anddisease research. The fields of bioinformatics and biotechnologyrely on the collection, processing, and analysis of huge numbersof biocellular images, including cell features such as cell size,shape, and motility. However manual methods of inferring thesevalues are so onerous that automated methods of cell tracking andsegmentation are in high demand. In this paper, a novelmodel-based cell tracker is designed to locate and trackindividual cells. The proposed cell tracker has been successfullyapplied to track hematopoietic stem cells (HSCs) based onidentified cell locations and probabilistic data association."}
+{"text": "The main aims of the Society are the organization of an annual scientific meeting and the fostering of Bioinformatics in Italy. The 4th Annual BITS Meeting, , was held in Naples, Italy, on April 26-28 2007, in the \u201cFederico II\u201d Congress Center, in view of the entire gulf of Naples, the Vesuvio, Castel dell'Ovo, the island of Capri and the city seashore. Over 130 scientists actively working in the field or strongly interested in its development met and discussed their work, state of the art and future perspectives. A total of 149 abstracts were accepted and presented in the poster session and 31 of them were selected for oral presentation.The Italian Society of Bioinformatics Structural and functional analysis of genomes; ii) Novel methodologies, algorithms and tools; iii) Molecular evolution and novel algorithms; iv) Biomedical Informatics; v) Large scale analysis of experimental data; vi) Gene expression and system biology and vii) Structural biology and drug design.BMC Bioinformatics supplement. We adopted a stringent reviewing procedure, based on selected Associate Editors handling the process according to their recognized knowledge in specific subjects of Bioinformatics and following a peer review procedure.From these conference sessions, 21 papers were submitted for publication in this After this process, 14 papers were accepted. They cover different aspects of theoretical and applied Bioinformatics, including: i) useful algorithms and tools for sequence analysis aimed at the prediction and characterization of functional motifs in nucleotide and protein sequences, of SNPs affecting protein stability, and of protein interaction networks and protein complexes; ii) curated databases of expression data and of conserved non coding sequences; iii) system biology models and iv) interesting technological breakthroughs for data management and for speeding up large-scale database searches.Whether this will help in encouraging scientists involved in biological and/or medical researches in our country to plan, merge and spread their knowledge by means of Bioinformatics is left to the future and to the availability of national grants specifically devoted to this.In this presentation, we gratefully acknowledge the patience and help of our colleagues around the world who helped in the process of reviewing as Associate Editors:Bert AbbotGill BejeranoAxel BrennickeIdelfonso CasesGino CingolaniLarry CroftManolis DermitzakisChristiane GebhardJerzy JurkaPeter KarpReinhard LabenbacherRoman LaskowskiArthur LeskRodrigo LopezJohn MattickSayan MukerjeeAnnalisa PastoreFrancis QuetierPeter RiceMarie-France SagotMarco SalvettiYves van de Peer and at .The next Annual meeting of the Italian Society of Bioinformatics will be held in Cagliari, September 22\u201326, 2008, in conjunction with ECCB08, the 2008 European Conference of Computational Biology. Further information about BITS2008 will be available on our web site at the address"}
+{"text": "The Second Meeting of the British Society for Immunology Tumour Immunology Affinity Group (TIAG) took place at King's College on 17-18 June 1997 and brought together over 100 tumour immunologists from the UK and abroad. In contrast to previous meetings the focus of the meeting was on the role of adhesion in immunosurveillance and tumour dissemination. In addition, recent achievements in the areas of chemokines, cytotoxic T-lymphocyte (CTL) and natural killer (NK) cells, co-stimulation, gene and adoptive immunotherapy were also addressed. The purpose of this report is to outline current trends in tumour immunology."}
+{"text": "Sir,In his letter, Dr. Al-Hajoj proposesBCG vaccination of infants was confirmed to have significant protective efficacy against disseminated childhood tuberculosis and tuberculous meningitis. A meta-analysis of 5 randomized control trials and 8 case-control studies showed an average protection of 80% among children vaccinated in infancy. The impaCurrently, BCG vaccine is not given routinely in USA, Canada and parts of western Europe, because of the low disease incidence in these countries . In Saudi Arabia, the incidence of the disease remains moderate , and there is a high influx of foreign workers (including housemaids) from countries with high prevalence of tuberculosis. In these circumstances, exposure of children to the disease is likely to be significant; and therefore, prevention of serious childhood tuberculosis should remain a priority. This emphasizes the need to continue with the current policy of compulsory BCG vaccination of infants in Saudi Arabia. A revision of this policy is justified when the disease incidence declines to low levels."}
+{"text": "In a restricted sense, the resource curse is a theory that explains the inverse relationship classically seen between dependence on natural resources and economic growth. It defines a peculiar economic and political environment, epitomised by oil extraction in sub-Saharan Africa.Based on secondary research and illustrations from four oil-rich geographical areas , I propose a framework for analysing the effects of the resource curse on the structure of health systems at sub-national levels. Qualitative attributes are emphasised. The role of the corporate sector, the influence of conflicts, and the value of classical mitigation measures are further examined.Health systems in a resource curse environment are classically fractured into tripartite components, including governmental health agencies, non-profit non-governmental organisations, and the corporate extractive sector. The three components entertain a range of contractual relationships generally based on operational considerations which are withdrawn from social or community values. Characterisation of agencies in this system should also include: values, operating principles, legitimacy and operational spaces. From this approach, it appears that community health is at the same time marginalised and instrumentalised toward economic and corporate interests in resource curse settings.From a public health point of view, the resource curse represents a fundamental failure of dominant development theories, rather than a delay in creating the proper economy and governance environment for social progress. The scope of research on the resource curse should be broadened to include more accurate or comprehensive indicators of destitution and more open perspectives on causal mechanisms. Considering the extreme and deepening subjection of industrialised nations toward fossil energy, this economic approach to the resource curse would thus explain- as a first approximation \u2013 why the case is today nowhere better illustrated than in sub-Saharan Africa, the fastest growing oil-producing region worldwide [et al. [economic mechanisms have been examined as possible explanatory arguments. These explanations classically encompass processes such as: (i) the loss of economic diversification, following the appreciation of the domestic exchange rate caused by exports of natural resources (the 'Dutch disease'), and (ii) the volatility of the price of fossil fuels. Second, resource curse countries are characterised by high corruption levels. The theoretical framework behind this observation relies on the concept of 'rentier state', whereby governments in a capacity to rule in the absence of a functioning tax system are less accountable for misallocation of resources and poor governance. Third, states that rely heavily on oil exports are more likely to adopt authoritarian modes of governance. Fourth, the presence of natural resources increases the risk of civil wars. While this set of findings focusing on politico-economic mechanisms provides essential pieces to the overall picture describing resource curse environments, causal mechanisms and exact interactions are incompletely understood. The initial econometric definition of the 'curse of natural resources' is a useful framework to approach the counter-intuitive observation that economic growth is hampered by the availability of domestic mineral resources. However, this angle of analysis is clearly reductionist, for at least two reasons. First, much of the macro-economic framework (comparing growth performance between countries) is oblivious of sub-national or local differences within countries, and conceals deeper adverse effects for the very populations residing in mineral rich areas. Second, the focus on economic growth to describe the nature of the resource curse assumes that other dimensions are subsidiary to economic factors. Fortunately, some scholars have examined the effect of extractive industries from a broader perspective and used more comprehensive indicators of deprivation than purely economic ones. For example, Gylfason [a and that 'oil dependence is also associated with high rates of child malnutrition; low spending levels on health care; low enrolment rates in primary and secondary schools; and low rates of adult literacy'. More recently, Ross [The soils of most of African countries are rich in mineral, oil or gas resources , and couorldwide . As a coorldwide ,11, Rossorldwide , Karl [1orldwide , and Hum [et al. does not provide so far any comprehensive description of health systems in specific resource curse environments. As a first approach to fill this gap, I carried out secondary (desk) research to identify existing data about health outcomes/impacts and about components of health systems in oil-producing countries located in sub-Saharan Africa. These countries are listed in reference . I extenBased on this compilation of country data and on a review of the resource curse literature, I first propose a possible generic analytical framework Figure to definThe definition of health systems is open to interpretation and, depending on individual points of view or values, it can encompass increasing circles of inclusiveness among activities that define a society , as well as the overlapping category of traditional health practitioners. The latter two categories are popular and probably important in terms of numbers of providers b [The current definition endorsed by WHO draws frviders b , but theviders b and theiAlthough the three core categories considered in the framework provide services based on 'western' paradigms of healthcare and operate within the same geographical boundaries, they are clearly different in their underlying values, operating principles and self-defined legitimacy, as illustrated by examples in Table et al. [While government agencies are well defined by national policies and laws, the category of NPNGO providing health services is heterogeneous, and includes faith-based and humanitarian organisations, both further categorised as national or international agencies. Their defining values are generally altruism or solidet al. have shoIt has become popular for the corporate sector to be engaged in a number of health actions covering a range of public health endeavours, such as: supporting global or regional health initiatives, sponsoring biomedical research, sponsoring non-governmental organisations or, more directly, financing local health projects. As an example, the case of Exxon Mobil illustrates the diversity of such contributions through its involvement in malaria control . Obviousc, resulting in some confusion over its scope [d is a distinct and rather recent operating principle originating from the commercial sector. Definitions of CSR are loose ts scope ,29. CSR ts scope , but CSRts scope . It is ud Figure . This raRelated, but distinct from CSR is the concept of 'social license to operate' (SLO), which is the main operational objective of CSR at community level, giving the corporate industry its share of informal legitimacy and additional operational space Table . How the\"Social investments in local health (...), skills and infrastructure improve the capacity to absorb positive spillovers from and enhance linkages with businesses. The concept of absorptive capacity plays an important and positive role in the theory of FDI and development...At the same time, businesses also have an incentive to make social investments through partnerships over and above the developmental needs of the local people. Such investments will improve local skills, motivation and health of the local workforce, and thus create more efficient labour inputs and higher quality local suppliers on which business become increasingly dependent. Efficient labour inputs and the quality of local suppliers improve business efficiency, while the consent of the local communities provides a 'social license to operate\"' .Lee and Bialous advocateself-regulated norms, and resource curse environments are characterised by poor state governance or deficits in the rule of law. It is therefore important to examine if any international convention would cover norms regulating health systems governance in this context. Article 12 of the International Covenant on Economic, Social and Cultural Rights addresses a number of issues directly relevant to health in resource curse environments. These are specified in General Comment No. 14 issued by the UN Economic and Social Council under 'the right to the highest attainable standard of health' [et al. [A last point to consider here is the nature of health governance regimes under which the corporate sector operates in resource curse environments. By essence CSR entails health' , notably [et al. for inteThe three core categories of agencies introduced so far in the analytical framework Figure entertaiFirst, GOV and NPNGO interact classically through informal trust-based relationships or relational contracts. However, multilateral development agencies are currently promoting more binding relationships through contracting-out of health services, as indicated in the case of Southern Sudan. The benefits of this experimental approach are still disputed ,38. For Second, CES and GOV partnerships in the health sector can be biased by political agendas, at the expense of social achievements. Frynas and Le BThird, the relationship between CES and NPNGO has some underlying complexity. For example, oil companies are unable and unwilling to undertake comprehensive development projects and they are clearly looking for partnerships and joint initiatives to achieve their corporate social responsibilities ,43. For With the notable exception of international humanitarian organisations, the 'tri-sector partnership model' promoted by the corporate sector and multilateral development agencies thus draws from the same categories of actors that define the core elements of the formal health sector in a resource curse environment.Whether implemented under the umbrella of bilateral or multilateral development agencies, the place of ODA-financed health programmes in this context is ambivalent. They dwell upon the core categories of the tripartite health system model illustrated in Figure e [The tripartite health system framework described in previous sections is a dynamic model and it is naturally bound to evolve. Demographic pressure and urbanisation are obvious motors of change for local communities impacted by the resource curse, either through in site infrastructure developments or, more commonly, through migration toward booming urban areas. To different extents, the four areas examined in this paper are undergoing rapid demographic changes, which result in increased and mostly unregulated urbanisation. This is obvious for Luanda, the capital of Angola, and for Port Harcourt, the capital city of Rivers State, Nigeria. In the Doba basin of southern Chad, the oil extraction area of Kom\u00e9 has doubled its population since 1993 . In Soute . Even fre acknowleHarpham and Molyneux have revf and/or to the weapons industry. Sudan [The association between oil extraction and armed violence is well established, and it is classically considered one of the root causes of the resource curse. First, interstate conflicts are a recurrent theme in the history of oil extraction (p. 9.8\u2013y. Sudan (p. 18) y. Sudan (p. 10) y. Sudan addresses an important development issue. However, the theory has been criticised by independent evaluators for its 'lack of appropriate conceptual and empirical framework' g [Using econometric analyses, Collier and colleagues ,60 have ework' g and its ework' g ,63,64. Rework' g ,65,66 prework' g , none ofework' g have shoHaving reviewed the evidence for armed violence as a leitmotiv in the landscape of oil extraction, the key question is: to what extent does violence contribute to adverse health effects in a resource curse environment? Coupland has clarThere are at least three processes through which adverse health effects of industrial development projects can be mitigated at community level, and which would apply directly to oil extraction. These are: health impact assessments, consultations with local communities, and long term monitoring. A Health Impact Assessment (HIA) is an essential part of the broader Environmental Impact Assessment (EIA) process that is now considered standard practice for project proposals submitted to international development agencies . Lee et If one considers that the 'Chad Cameroon Petroleum Development and Pipeline Project' (CCPDPP: see Appendix 1) is a model of environmental and health impact mitigation in oil extraction (due to the oversight of the World Bank Group), the weight given to public health concerns and to HIA as a guarantee of best practices is at best disappointing. While the preliminary HIA had arguably induced some improvements in specific health outcomes , broader systemic health issues raised by the international panel of experts appointed by the World Bank were ignored or dismissed by the Consortium of corporate stakeholders . One of Finally, longitudinal monitoring of health outcomes and impacts of projects such as oil extraction should be standard procedures. Taking again the CCPDPP as an alleged model, there is much scope for improvement in practice, with a need for systematic baseline studies and pre-established public health surveillance mechanisms.primary intent criteria would formally exclude the corporate component (CES) of the core agencies depicted in Figure The presence of extractive industries in oil-rich areas affects directly the health of local populations. Examples of adverse health outcomes and impacts include: direct effects of environmental degradation, increase in road traffic accidents, acceleration of the spread of HIV and of other sexually transmitted infections. In addition, in oil-dependent countries complex systemic effects interact to determine broader consequences on health, such as: higher rates of child mortality, lower life expectancy, higher malnutrition rates or lower spending levels on health care . SimilarAside from direct health effects of oil extraction, Figure marginalised and instrumentalised, not only in the concrete contexts in which extractive industries operate, but also in mainstream development discourses proposing remediation to resource curse situations. Marginalisation of health has been exposed throughout this paper: (i) by the dominance of econometric parameters to define the resource curse, (ii) by the lack of a longer-term analysis taking into account the health consequences of urbanisation and (iii) by the poor weight that HIA and other health mitigation measures carry in the face of economic interests. Instrumentalisation of health appears in: (i) the nature of the operational concept of 'license to operate', (ii) the corporate perspective on HIA as an instrument to secure licenses to operate and (iii) the type of contractual partnerships promoted by multilateral development agencies, including tri-sector partnerships.I argue that health has been h co-authored by Jeffrey Sachs. This is still more troubling as one remembers that the same author has prominently been leading research and political agendas valuing health as a major determinant of economic growth [One might wonder why, with few exceptions, health and other social parameters of well-being have not received more attention in the resource curse literature until recently. Reasons might be historical or methodological, but also ideological. For example, the possibility of health as an explanatory variable is conspicuously absent from a recent authoritative textbook on 'Escac growth .As mentioned in the introduction, initial econometric findings on the resource curse are reductionist in their scope (countries vs. affected communities) and in their perspective . The theoretical foundations of this reductionist perspective obviously reflect mainstream development theories and macro-economic policies supported by international financial institutions. Perpetuating an exclusively economic and political research agenda would carry the risk to see ideologically biased solutions prescribed prematurely, while ignoring other important and neglected dimensions of the resource curse phenomenon. Remediation measures to armed conflict proposed by some analysts of the resource curse are indeed biased toward macro-economic interventions. Bannon and Collier . The country gained independence in 1960 and started oil exploitation in 1958, essentially in the Niger Delta region, where four states account for most of the national production. In spite of such wealth, this is a region where the GNP per capita and educational levels remain below national average, and 70 percent of its 20 million people are living below the poverty line j ,90. The j ,90-92. Dj add to tj ,63. Thisj . Politicj and massj . The Nigk [As shown by Human Rights Watch in the Rk , and in k ,98. Howek ,32,43 ask .With huge reserves of mostly offshore oil and a population of 12.4 million, Angola is one of the richest countries in Africa. Yet, it ranks poorly in terms of social development and it has the highest level of inequality among oil and gas producers. At least one third of Angola's population resides in shantytowns with verThe ruling elite of Angola is opaque and largely unaccountable about national oil revenues amounting to several billion US$ per year. The country is still very much dependent on foreign aid for the vital sectors of health, food relief and emergency assistance. The transition from humanitarian relief to reconstruction has been slow, partly due to obstructions to the work of aid agencies by the Angolan government. The role of oil companies in the social sector is troubling, and Le Billon could coCompared to the Niger delta, Angola thus offers a more straightforward example of the resource curse, devoid of major local and environmental dimensions, while the country at large is still relying heavily on foreign aid and relief agencies for the provision of basic services. For example, excluding landmines action, Angola has appealed for a total of US$ 17,468,992 in foreign emergency assistance in 2007 .l [With the assistance of the World Bank Group (WBG), oil fields have been exploited since 2004 in the Doba basin of southern Chad, through an impressive and elaborate public-private partnership between a consortium of transnational companies, and the governments of Chad and Cameroon. The project includes the development of three oil fields in southern Chad, a 1000-km underground pipeline running through Cameroon, an offshore export terminal, and the construction or rehabilitation of a large number of ancillary infrastructures alongside . The 'Chl ,102,104.l ) is thatth and 9th statutory missions) has repeatedly noted the absence of baseline studies and delays in setting up monitoring mechanisms, in particular with respect to HIV/AIDS prevalence in the project areas. Health impacts of the project will therefore be difficult to determine.The health sector is poorly developed in Chad, due to a lack of qualified medical staff, a lack of management skills at all levels, and a concentration of health services in urban areas . The quem [A glance at a concession map reveals m . As an im has submm (p. 122)m . The exam .g. Acemoglu D, quoted in Banerjee .h. In the book , health i. The following references and considerations about Botswana were kindly suggested to me by one of the reviewers.j. Niger Delta Development Commission (NDDC), 2004: quoted by Idemudia and Ite ; see alsk. For an historical overview, see 'Capital and community: a case study' in Watts .l. For a comprehensive analysis of the CCPDPP, see Gary and Karl . For an m. Letter of Sector Development Policy by Dr. Theophilus Ochang Lotti, Minister of Health. Annex 12, In: Government of Southern Sudan .CCPDPP: Chad Cameroon Petroleum Development and Pipeline Project; CES: Corporate Extractive Sector; CPA: Comprehensive Peace Agreement (Sudan); CSR: Corporate Social Responsibility; EIA: Environmental Impact Assessment; FDI: Foreign Direct Investment; GDP: Gross Domestic Product; GNU: Government of National Unity (Sudan); GOS: Government of Sudan; GOSS: Government of Southern Sudan; GPI: Genuine Progress Indicator; GOV: Governmental health agencies; HDI: Human Development Index; HIA: Health Impact Assessment; LGC: Local Government Council (Nigeria); MPLA: Movimento Popular de Liberta\u00e7\u00e3o de Angola; NPNGO: Non-Profit Non-Governmental Organisations; ODA: Official Development Assistance; SLO: Social License to Operate; SPLM: Sudan People's Liberation Movement; SSA: Sub-Saharan Africa; UNITA: Uni\u00e3o Nacional para a Independ\u00eancao Total de Angola; WBG: World Bank Group.The author declares that he has no competing interests.Table 2. Some key features about selected oil-producing countries.Click here for file"}
+{"text": "The theme of the conference was \u201cAdvanced Technology of Radiation Medicine and Medical Physics Practice\u201d. About 650 delegates from India and abroad, including 120 radiological / medical physics students from different universities of India participated in the conference. ICMP-2008 was inaugurated by Dr. Anil Kakodkar, Chairman, Atomic Energy Commission and Secretary to the Government of India, Department of Atomic Energy (DAE). While delivering the inaugural address, Dr. Anil Kakodkar summarized the importance of ionizing radiation in daily life, and the contributions of DAE / BARC toward the cancer control program of the country. He also stated that a sufficient number of trained technical manpower for safe medical applications of ionizing radiation is available in the country. However, there is a need to take the advanced technology equipment to the rural sector, improve the working conditions at rural medical institutions and remunerate the technically trained people adequately. In addition, he emphasised the need to restructure the training modules so that the trained manpower could efficiently use the advanced technology equipment for its intended applications. Shri S. K. Sharma, Chairman, Atomic Energy Regulatory Board (AERB) presided over the inaugural function and released the Souvenir and Book of Abstracts. In the presidential address, Shri S. K. Sharma highlighted the role of AERB in ensuring the safety and security of radiation sources. He also stated that though the radiation safety record in medical applications of ionizing radiation is very good we must be cautious while using advanced technology equipment for radiodiagnosis and treatment. Prof. Bhudatt Paliwal, Director of Medical Physics, Department of Human Oncology and Medical Physics, University of Wisconsin, Madison, USA, presented the keynote address where he described in detail the dosimetry problems associated with organ movements during intensity modulated radiotherapy (IMRT). The keynote address highlighted the feasibility of real-time motion tracking methodology during the delivery of IMRT. Dr. Anil Kakodkar felicitated five Ex-BARC scientists for their contribution to AMPI (See Annexure-1 for their brief bio-data).The International Conference on Medical Physics (ICMP-2008) and the 29One hundred eighty five papers, including the AMPI Ramaiah Naidu Memorial Oration, 29 invited, 35 oral and 120 poster papers were presented during the conference. Shri P. S. Viswantahan, Former Head, Department of Medical Physics, Tata Memorial Hospital, Mumbai, delivered the seventeenth AMPI Ramaiah Naidu Memorial Oration (RNMO). The RNMO award is bestowed on an eminent personality who has a long working experience in the field of medical physics with a good track record of academics, research, and clinical practice. The title of his deliberation was \u201cMedical Physics in India: History, Development, and Activities\u201d. During his talk he described in detail the early days (1943) and the current medical physics activities in the country, including commercially available technology and indigenous developments. He also listed the future directions to deal with hi-tech equipment and emphasized the need for harmonization in medical physics training modules. The key feature of ICMP-2008 was the AMPI-AROI (Association of Radiation Oncologists of India) joint scientific meeting on November 28, 2008, at Nehru Centre, Worli, Mumbai. The joint meeting was the first of its kind, which could be assumed to be the defining moment in the history of medical applications of ionizing radiation in India. Both the clinical and physical aspects of recent radiation oncology, such as, IMRT, IGRT, precision radiotherapy by Cyber Knife, adapted Telecobalt machines and Proton accelerators, Image guided brachytherapy, and indigenous development of radiotherapy technology were presented during the joint meeting. The joint meeting was useful for radiation oncologists, for improving their understanding of medical physics and the technological aspects of recent radiotherapy, while it was equally beneficial for medical physicists to understand the clinical requirements and associated complexities when implementing hi-tech radiotherapy. Panel discussion on \u201cNewer Technologies: Promises and Pitfalls\u201d witnessed the active participation of a large number of medical physicists and radiation oncologists. It was concluded during the discussion that technology is available for high precision radiotherapy and dose escalation, but it should be used discriminately as a majority of cancers require palliative treatment by conventional techniques.The scientific deliberations of ICMP-2008 covered the whole spectrum of medical radiation physics: Radiation Therapy Physics and Devices; Medical Imaging Physics and Devices; Radiation Dosimetry and Standards; Radiation Physics; Radiation Biology; Time Dose Models; Commissioning, Quality Assurance, and Audits; Clinical Aspects of Radiation Oncology; Clinical Aspects of Medical Imaging; Computational Tools in Medical Physics; Education and Training in Medical Physics; and Radiation Protection and Safety. Presentations on recent developments in the technology of radiation medicine and methodology of imaging and radiation therapy were the special attractions. The oral and poster presentations were evaluated for the best Oral and Poster articles. At the end of the conference \u201cImprovement of ImatriXX in terms of spatial resolution and large field acquisition for patient specific IMRT verification\u201d by Arun S. Oinam, Lakhwant Singh, Pradeep Goswami, Anup Bhardwaj, B. S. Rana, S. C. Sharma, from the Radiotherapy Department, Postgraduate Institute of Medical Education and Research, Chandigarh, India, and \u201cDosimetry of in-house designed circular cone for stereotactic treatment using MVCBCT\u201d by Kamlesh Kumar Gupta, V. K. Sathiyanarayanan, Janhavi R. Bhangle, R. Vaitheeswaran, from the Department of Radiation Oncology, Ruby Hall Clinic, Pune, India were declared the best Oral and Poster papers respectively.The overwhelming participation of trades dealing with medical radiation equipment, dosimetry systems, phantoms, computerized treatment planning systems, and treatment accessories was the other attraction of ICMP-2008. A number of recent technological equipments and dosimetry systems (2-D array with high resolution), phantoms (Dynamic phantoms to simulate organ movements), patient immobilization devices (SBRT immobilization systems), and other related products were demonstrated in 32 stalls arranged near the conference venue.In summary, the conference deliberations were useful for radiation scientists, medical physicists, radiation oncologists, radiologists, radiobiologists, dosimetrists, and radiation technologists."}
+{"text": "Utilizing data from the California Health Interview Survey (CHIS) 2009, we examine caregiving activities among foreign born and US born Latinos, and US born Non-Hispanic whites ages 18 to 80 who are caring for an adult age 60 or older. Utilizing OLS regression, we first examine the relationship between race, ethnicity, nativity, and age and the amount of caregiving, types of caregiving, and use of long-term care (LTC) services among the population. Next we examine the health, mental health, and economic status of the three caregiver populations. The results find that middle aged and younger foreign born Latinos provide the greatest amount of care and also present with the greatest amount of economic challenges. US born middle- aged Latino caregivers also provide relatively high levels of care and also are more likely than other caregivers to experience health challenges including diabetes, obesity, depression and social isolation."}
+{"text": "Bartlett pioneered the use of Extra-Corporeal Membrane Oxygenation (ECMO) for prolonged cardio-respiratory support in critical patients in the 1970's . Early cBurke and McMullan contribute a very extensive and precise review of their experience with Extra-Corporeal Life Support (ECLS) for pediatric heart failure, including the utilization as peri-operative support as bridge to heart transplant. Very appropriately, they present the extracorporeal cardio-pulmonary resuscitation as one of the most significant advancements in the field of ECLS (Burke and McMullan). In addition to a clear list of contraindications, a very detailed list of the potential complications was given, including hemorragic episodes, central nervous system injuries, pericardial tamponade, pneumothorax, metabolic acidosis, seizures, infections, renal failure, failure of the oxygenator, and limb ischemia (Burke and McMullan).Di Nardo et al. contribute review of ECLS, with particular attention to current indications, pre-operative stabilization, peri-operative support and use beyond the peri-operative period .. An important contribution was given with a list of special indications for ECLS: intractable arrhythmias, extracorporeal cardio-pulmonary resuscitation, and use in the presence of \u201cfunctionally\u201d uni-ventricular type of circulation .The contraindications, as well as the details to facilitate the cannulation in neonate and small patients are reviewed .Their very strong message was that every attempt should be done to start ECLS \u201curgently\u201d rather than \u201cemergently,\u201d before the presence of dysfunction of end organs or circulatory collapse Harvey contributed a useful and practical review on cannulation, based on his very extensive clinical experience. Pure cannulation considerations about the design of the available cannulas and the type of required support are discussed (Harvey). For the Veno-Arterial (V-A) support suggestions were given for difficult cannulation, with special considerations particularly for neonates, and for the central cannulation for V-A support. For the Veno-Venous (V-V) support a list of potential complications was presented, with suggestion about their prevention and treatment (Harvey). A separate part was dedicated to the surgical cannulation of the femoral vessels for larger size patients, with attention to the distal limb perfusion, as well as to the vessel sparing cannulation (Harvey). Finally, all aspects related to the need of left heart venting were presented, for both situations of open and closed chest left heart venting (Harvey).Broman and Frenckner contribute an interesting article on the transportation of critical patients on ECMO. After an accurate report of the background, they gave a carefully detailed description of the logistics of the transport, including the requirements for the transport vehicle, the equipment and the personnel (Broman and Frenckner). Special situations were also taken in consideration, such as international transportations, environmental and climate issues, and working environment (Broman and Frenckner).Ryerson and Lequier contribute a review of one of the most important and difficult issues of the ECLS: the management and monitoring of the anticoagulation. They very appropriately started by specifying than anticoagulation per se is more complex in neonates and infants, and anticoagulation on ECLS provides an additional layer of complexity (Ryerson and Lequier). Furthermore, heparin is only an indirect anticoagulant, and the standard monitoring is hugely imperfect. Then they analyzed the role of activated clotting time, activated partial thromboplastin time, anti-Xa assay, viscoelastic testing, and antithrombin replacement (Ryerson and Lequier). Alternative options of anticoagulation were considered, such as direct thrombin inhibitors, new oral anticoagulants, and factor XIIa inhibitors. They provide an useful review on the prevention and management of bleeding and thrombotic complications during ECLS: definition and criteria of significant bleeding, role of antifibrinolytic therapy, activated factor VII, thrombotic complications in the patient and in the circuit, heparin-induced thrombocytopenia, and finally the optimal blood products replacement (Ryerson and Lequier).(Nair and Oishi). After an extensive introduction and explanation of the role of the ECLS in the presence of respiratory issues, they focused on ECLS in patients with \u201cfunctionally\u201d uni-ventricular hearts, discussing the role of V-V vs. V-A support. Special considerations were proposed for patients with \u201cfunctionally\u201d uni-ventricular hearts requiring V-V support because of ARDS: in particular (a) timing of cannulation, (b) type and positioning of the cannula, (c) bleeding, thrombosis and anticoagulation, (d) ECLS flow in these patients, (e) lung rest settings, and finally (f) weaning from ECLS.In the last article of this Research Topic Nair and Oishi report their experience with the management of patients with single-ventricle pathophysiology and acute respiratory distress syndrome (ARDS), with V-V ECLS We strongly believe that this collection of articles on ECMO will be very useful to all people involved in the care of pediatric patients requiring cardiac and/or respiratory support.AFC and TK edited this Research Topic and this editorial was written by AFC.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "The use of video-games, either online or offline, has significantly increased, and almost homogeneously, around the globe over the last decades , the USA , Norway , Italy , Greece, Cyprus, and Australia . Online gender specific and face to face data collection procedures were applied, in conjunction with a number of different models and analytical methodologies ranging from Confirmatory Factor Analysis , Mokken analysis , Rash analysis , Classical Test Theory , Complex Regressions , and the PRISMA guidelines for systematic literature reviews (Costa and Kuss). Disordered gaming scales were assessed comparatively , across genders , while the differential functioning of disordered gaming criteria was examined .In this context, the goal of the present special topic-issue is to contribute to the ongoing discussions concerning this phenomenon. The studies included utilized culturally and developmentally diverse, normative samples from Iran Cultural values of independence, competitiveness and hierarchy have been suggested to confound the assessment of the experienced level of absorbance by the gaming activity ; (c) the need of particular emphasis on female gamers and their specialized assessment was emphasized ; (d) a considerable delay in the employment of consistent measurements/ assessment in studies of clinically diagnosed disordered gamers was illustrated (Costa and Kuss); and (e) analogies with the emergence of gambling behaviors among younger individuals became clearer in the context of the broader literature .The findings of this special topic contribute to the extant literature by shedding light to much debated, yet important, aspects of the assessment and measurement of disordered gaming behaviors. Indicatively: (a) the inclusion of gaming motivation as an inherent part of the assessment of disordered gaming behaviors has been supported by Costa and Kuss), while the number of measurement invariance studies, targeting in particular issues of scalar invariance (whether the same scores indicate the same severity) across populations of different genders, cultures, and developmental stages are rare (Stavropoulos et al., assessment and measurement discipline in regards to the officially introduced definitions of DSM-5 (American Psychiatric Association, However, challenges in the field of disordered gaming assessment still remain. Scholars continue to disagree about the nature of the behavior (Kardefelt-Winther et al., All procedures performed in the study involving human participants were in accordance with the ethical standards of the institutional and/or national research committee and with the 1964 Helsinki declaration and its later amendments or comparable ethical standards. This article does not contain any studies with animals performed by any of the authors. Informed consent was obtained from all individual participants included in the study.VS and RG contributed to the literature review, the structure, and sequence of theoretical arguments. FM-S contributed to the theoretical consolidation of the current work, revised, and edited the final manuscript.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Social status - the standing of a person or group in the social hierarchy - is part and parcel of social life and a significant determinant of cognition and behavior. Status hierarchies are basis of virtually all human and primate societies and assign different roles and privileges to its members. However, the dynamic nature of social status and the underlying mechanisms in old age are not well understood. Therefore, this symposium addresses questions of how social status is influenced by aging-related changes in roles, life events, self-concept, and images of aging and how social status shapes in response personality, subjective age, prosocial behavior, performance, and well-being in old age. Bellingtier and colleagues examined objective and subjective social status and their connections to subjective age, attitudes towards aging, and awareness of age-related changes. Zhang shows paradoxical association between aging stereotypes and prosocial behaviors toward older adults. Barber and Hamel investigated how stereotypes of reduced physical competence in old age affect the gait performance on easy and difficult tasks. Weiss and colleagues take a cross-cultural perspective on the different sources of social status in China, Germany, and the US showing that generations in contrast to age groups represent a source of high social status in later life. Finally, Kornadt investigates the dynamic interplay of changes in social roles and personality in old age. Together, these presentations enlarge our understanding of the dynamics of social status in old age."}
+{"text": "During the workshop, experts discussed the state of the science. The U.S. Food and Drug Administration (FDA) has approved several medications to prevent osteoporotic fractures. These include bisphosphonates (BPs), denosumab, teriparatide, estrogens, and selective estrogen-receptor modulators. BPs are a first line of pharmacologic treatment for most women and men who have osteoporosis. Despite the efficacy of short-term use of BPs and other osteoporosis medications, treatment rates are low and appear to be decreasing. This talk would describe the problem/epidemiology of fracture prevention in the United States; the importance of drug therapy and their effectiveness; the limited evidence regarding long-term use of drug therapies; the questions surrounding the application of drug holidays; and the complex physician and patient factors that impact the use of and adherence to osteoporotic drugs."}
+{"text": "The northern coast of Central Java Province, Indonesia, is considered as the critical area of flooding. The area always suffers from flooding because of heavy rainfall and/or sea level rise. Flooding brings a lot of consequences, including people\u2019s suffering, property damage and property loss. A number of efforts have been carried out to manage flood problems, yet the achievement is incomplete without stakeholder involvement. Stakeholders have a very important role in flood risk reduction. A common understanding on the existence and role of stakeholders is important in achieving community resilience. The aim of this article was to analyse interest and cooperation among stakeholders in flood risk reduction. In-depth interviews were conducted to identify and analyse interest and influence of stakeholders in relation to flood risk reduction. MIC-MAC (Cross-impact Matrix Multiplication Applied to Classification) and MACTOR methods were employed to analyse collected data. The results of this study indicated that restoration and humanity are the key objectives with major influence in lowering flood risk. The objectives are critical for the success of flood risk reduction efforts. The Disaster Management Agency is identified as the main stakeholder with the most important role in reducing flood risk in Central Java Province. The Indonesia Disaster Data and Information shows a long-term upward trend in the number of floods in Indonesia, in which 5233 occurrences or approximately 38.99% of the total number of natural disasters occurred between 1815 and 2015. From 2011 to 2015, 368 cases of flooding in the Central Java Province, Indonesia, were reported, and the number has been continuously rising ever since and MACTOR .Cross-impact Matrix Multiplication Applied to Classification is an analytical tool used to analyse the drive power and dependence power of factors and various objectives of stakeholders. The Cross-impact Matrix Multiplication Applied to Classification principle is based on the multiplication properties of matrices. Analysis using MIC-MAC is performed to identify the key factors that drive the system in various categories. Based on their drive power and dependence power, the factors have been classified into four categories which are autonomous factors, linkage factors, dependent factors and independent factors of stakeholders . This quadrant includes objectives that have a weak influence and dependence. The objective is less related to flood risk reduction and may have few relationships that will be eliminated from the objectives of stakeholders in flood risk reduction.Quadrant 2 is dependent factors (weak influence \u2013 strongly dependent). It includes objectives that have weak influence and strong dependence. The objectives in this quadrant are non-independent ones.Quadrant 3 is a linkage factor (strong influence \u2013 strongly dependent). It includes objectives that have a strong influence and strong dependence. They should be determined meticulously as the relationship between goals is unstable.Quadrant 4 is an independent factor (strong influence \u2013 weak dependent). This quadrant includes objectives that have strong strength and weak dependence. The objectives are the key factors in flood risk reduction.The objectives in the upper-left quadrant (restoration and humanity) imply the high influence and low dependence of other variables in flood risk reduction. These objectives have major influence in reducing flood risk. They, thus, become the key objectives that are critical in the success of flood risk reduction efforts. Restoration enables stakeholders to undertake the development, maintenance and improvement of natural resources and/or infrastructures, such as rivers, embankments and floodgates, which have been proven to lower the risk of flooding, while humanity raises awareness and empathy to others. These two objectives have the greatest impact in reducing flood risk.The second most important quadrant is the upper-right quadrant. The two objectives included in this quadrant are main duty and safety. The objective of carrying out the main duty is important for government agencies because it is their main activity as well as a major indicator of the performance of their agencies. The objective of promoting people\u2019s safety is also an important goal for an individual or group or organisation in reducing flood risk.The lower-right quadrant is dependent on weak driver and strongly dependent variables. The objective of this quadrant is the element of awareness, which is a non-independent factor. Image, income, relocation and incentives are also classified in this quadrant. They are the objectives of several stakeholders in conducting flood risk reduction activities.Stakeholders involved in the activities of flood risk reduction have different influences and interests (objectives). Based on the identification and analysis of stakeholders, flood risk reduction activities in the northern coastal area of Central Java Province, Indonesia, were conducted by the Provincial Disaster Management Agency (Badan Penanggulangan Bencana Daerah [BPBD] Jateng), Semarang City Disaster Management Agency (Badan Penanggulangan Bencana Daerah [BPBD] Semarang), Pati Regional Disaster Management Agency (Badan Penanggulangan Bencana Daerah [BPBD] Pati), Pekalongan Regional Disaster Management Agency , Regional Development Planning Agency (Badan Perencanaan Pembangunan Daerah[APPEDA]), Public Health Office (Dinas Kesehatan), Public Works Service (Dinas Pekerjaan Umum), Environmental Services (Dinas Lingkungan Hidup), businessmen, village heads, Search and Rescue (SAR) Team (Tim SAR), Indonesian Military and Indonesian Police , Indonesian Red Cross, farmers, volunteers, fisherman, village community leaders, local community (Masyarakat), Non-government Organisation (NGO) (community), Universities (university), business actors and journalists.Stakeholders in flood risk reduction can be categorised into three groups , Disaster Management Agency of Pati Regency (BPBD Pati) and Disaster Management Agency of Pekalongan Regency are the institutions responsible for disaster risk reduction at regional level and have the highest impact. It means that these institutions have an important role in reducing flood risk in Central Java Province. The BPBD Central Java Province ranks second, followed by community leaders as stakeholders who have a high competitiveness in reducing flood risk in the Central Java Province.The other major findings of stakeholder analysis are convergence and divergence , Semarang City Disaster Management Agency (BPBD Semarang), Pati Regional Disaster Management Agency (BPBD Pati), Pekalongan Regional Disaster Management Agency , Regional Development Planning Agency (BAPPEDA), Public Health Office, Public Works Service (DPU), environmental services, businessmen, village heads, SAR Team, TNI and POLRI, Indonesian Red Cross (PMI), village community leaders, Community, NGO, universities and business actors . StakehoBased on the actor\u2019s preference in objectives and competitiveness, the actors involved in reducing flood risk groups are grouped into four major groups. The first group consists of BPBD Central Java Province, BPBDs at regional level, Health Office, Public Works Service (DPU), environmental services, village heads, SAR and Indonesian Red Cross. The second group consists of universities, farmers, communities, fishermen, community leaders and NGOs (community). The third group includes the business actors and journalists, and the fourth group is the TNI-POLRI.The next finding is divergence. The results of MACTOR analysis show that stakeholders with a high potential of divergence are BPBD, farmers, fishermen and businessmen. The result indicates that these stakeholders have a relatively high probability of conflict or goal difference. On the contrary, university, TNI-POLRI, PMI and SAR have a low probability of conflict. In fact, their position is neutral because they have indirect interests in flood risk reduction activities.Not all actors involved in flood management have an important role in reducing flood risk. Each stakeholder has different objectives in conducting flood risk reduction activities; they are restoration, humanity, safety, income, image, main duty, incentive and relocation. Restoration and humanity are two objectives that have a major influence in lowering flood risk. These key objectives are critical in supporting the success of flood risk reduction. Restoration encourages stakeholders to undertake the development, maintenance and improvement of natural resources and/or infrastructure, such as rivers, embankments and floodgates, which may lower the risk of flooding. Meanwhile, humanity raises the awareness and empathy to others. In general, stakeholders in flood risk reduction can be grouped into three, namely beneficiaries, intermediaries and policy-makers. The Disaster Management Agency (BPBD) as the institution of policy-makers for disaster risk reduction at the regional level appears to have the highest role. The Disaster Management Agency (BPBD) has an important role in reducing flood risk in Central Java Province."}
+{"text": "Therapies originating from traditional medical systems are widely used bypatients in both India and the United States. The first India-US Workshop onTraditional Medicine was held in New Delhi, India, on March 3 and 4, 2016, as acollaboration between the Ministry of Ayurveda, Yoga and Naturopathy, Unani,Siddha, and Homoeopathy (AYUSH) of the Government of India, the US NationalCancer Institute (NCI), National Institutes of Health, and the Office of GlobalAffairs, US Department of Health and Human Services. It was attended by Indianand US policymakers, scientists, academics, and medical practitioners fromvarious disciplines. The workshop provided an opportunity to open a dialoguebetween AYUSH and NCI to identify promising research results and potentialtopics for Indo-US collaboration. Recommendations that emerged from the workshopunderlined the importance of applying rational and scientific approaches fordrug development; standardizing traditional medicine products and procedures toensure reliability and reproducibility; promotion of collaboration betweenIndian traditional medicine practitioners and researchers and US researchers;greater integration of evidence-based traditional medicine practices withmainstream medical practices in India; and development of training programsbetween AYUSH and NCI to facilitate crosstraining. Several positive developmentstook place after the thought-provoking deliberations. This makes India one among 12mega\u2013biodiverse countries of the world.Upgrade the educational standards in Indian Systems of Medicines andHomoeopathy colleges in the country,Strengthen existing research institutions and ensure a time-bound researchprogram on identified diseases for which these systems have an effectivetreatment,Draw up schemes for promotion, cultivation, and regeneration of medicinalplants used in these systems, and5Evolve pharmacopeial standards for Indian Systems of Medicine and Homoeopathydrugs.6 Of the threepharmacopeia committees for Ayurvedic, Siddha, and Unani drugs, the PharmacopoeialLaboratory for Indian Medicines, Ghaziabad, has thus far published standards on1,082 single drugs and 302 compound formulations.7 The Ministry of AYUSH has also set up a research portal,managed by the National Institute of Indian Medical Heritage, for disseminatingknowledge regarding AYUSH systems and research updates for academicpurposes.8 The TraditionalKnowledge Digital Library was initiated in 2001 as a collaborative project betweenthe Indian Council of Scientific and Industrial Research, the Ministry of Scienceand Technology, and the then\u2013Department of AYUSH. Managed by the Council ofScientific and Industrial Research, the Traditional Knowledge Digital Librarydatabase contains 34 million pages of formatted information on over 0.29 millionmedicinal formulations of Ayurveda, Unani, Siddha, and asanas of yoga in fiveinternational languages . Access hasbeen provided to 10 international patent offices under a nondisclosure agreement tocheck for prior art while granting patents.9As part of the 12th Five-Year Plan (2012 to 2017), the Government of India launchedthe National AYUSH Mission, which envisages better access to AYUSH services throughan increase in the number of AYUSH hospitals and dispensaries; mainstreaming ofAYUSH through colocation of AYUSH facilities at primary health centers, communityhealth centers, and district hospitals; and ensuring availability of AYUSH drugs andtrained manpower. The plan also aims to improve the quality of AYUSH educationthrough enhancement of the number of upgraded educational institutions, sustainedavailability of quality raw materials, and promoting medicinal plantconservation.10According to the 2012 US National Health Interview Survey, one in three adults in theUnited States used complementary and alternative medicine (CAM) approaches, withnatural dietary supplement products and yoga being the most commonly used CAMmodalities. It has been estimated that in 2006, Americans spent 33.9 billion USdollars out of pocket on CAM products and services.11 For dietary supplements, the FDA\u2019s Center for FoodSafety and Applied Nutrition is responsible for the agency's oversight of theseproducts, and premarket approval is not required for many ingredients that havehistorically been in the marketplace. However, new dietary ingredients do requirepremarket notification with the Center for Food Safety and Applied Nutrition, withsupporting information that the ingredient will reasonably be expected to be safeunder the conditions of use recommended or suggested in the labeling.Several arms of the US Department of Health and Human Services (HHS) address aspectsof TM. Natural products from herbal sources are oftensold as dietary supplements and are readily available to consumers in the US.Because dietary supplements are not intended to treat, diagnose, cure, or alleviatethe effects of diseases, they do not undergo the drug approval process with the USFood and Drug Administration (FDA).12 The NIH Office of Dietary Supplements was created tostrengthen knowledge and understanding of dietary supplements by evaluatingscientific information, stimulating and supporting research, disseminating researchresults, and educating the public to foster an enhanced quality of life and healthfor the US population.13 AnotherNIH institute, the National Cancer Institute (NCI), has at least two programs thatspecifically address traditional medicines. NCI\u2019s Developmental TherapeuticsProgram has empowered its Natural Products Branch to acquire plants, microbes, andmarine organisms through collection contracts encompassing over 25 tropical andsubtropical countries worldwide. The NCI Natural Products Repository, which isconsidered a national resource, includes approximately 80,000 plant samples, 20,000marine invertebrates and algae, and 16,000 microbes.14 The NCI Office of Cancer Complementary andAlternative Medicine is responsible for NCI\u2019s research agenda in CAM as itrelates to cancer prevention, diagnosis, treatment, and symptommanagement.15The US National Institutes of Health (NIH), part of the HHS, comprises 27 differentinstitutes and centers that support biomedical research, including research on manyaspects of CAM. The National Center for Complementary and Integrative Health,formerly the National Center for Complementary and Alternative Medicine, is the NIHagency with a mission to define, through rigorous scientific investigation, theusefulness and safety of complementary and integrative health interventions andtheir roles in improving health and health care.16 State and local governments areresponsible for deciding what credentials practitioners must have to work in theirjurisdiction.In the United States, there is currently no standardized, national system forcredentialing complementary health practitioners, and the credentials varysignificantly from state to state and discipline to discipline.17In April 2015, the Secretary and Joint Secretary of the Ministry of AYUSH, alongwith other associates, visited the HHS and NIH to explore the potential forcollaboration. As an outcome of this visit, AYUSH and NCI proposed a follow-upmeeting as an opportunity for additional discussions. In September 2015, the JointSecretary of the Ministry of AYUSH participated in the First US-India HealthDialogue in Washington DC,18 whereboth sides agreed that they would collaborate on various aspects of TM, includingregulatory assessment and research capacity building. Specifically, the HHS Officeof Global Affairs, NCI, and the Ministry of AYUSH agreed to hold a workshop on TM inearly 2016 to create a roadmap for AYUSH collaborations between India and the UnitedStates and to contribute to health, wellness, and people-centered health care inboth nations.In this context, President Barack Obama and Prime Minister Narendra Modi, in theirIndia-US Joint Statement of January 2015, pledged to encourage dialogue between theUnited States and India on TM.The first India-US Workshop on Traditional Medicine (ayushworkshop.in) was held atthe National Agricultural Science Complex, New Delhi, India, on March 3 and 4, 2016.The workshop\u2019s inaugural session started with a welcome address by JointSecretary Jitendra Sharma (Ministry of AYUSH) and was followed by keynote addressesby Ambassador Jimmy Kolker , H.K. Pande, and Ajit Mohan Sharan ; a special address was providedby US Ambassador to India, Richard Verma, and an address was presented by Shripad Y.Naik . The speakersnoted that the goal of this workshop was to discuss the importance of applyingrigorous scientific methodologies to the study of traditional Indian medicalsystems, using evidence derived from such studies to inform both traditional medicalpractices, appropriately integrating evidence-based traditional practices withmodern (Western) medical practices, and making use of the particular strengths thatIndia and the United States can bring to this endeavor.The workshop was attended by Indian and US policymakers, scientists, academicians,and medical practitioners from various disciplines, including but not limited tonatural product chemistry, pharmacology, biochemistry, cancer biology, immunology,cancer prevention, cancer control and population sciences, medical oncology,radiation oncology, integrative oncology, yoga, Ayurveda, Unani, and homeopathy.The program included specific themes divided into four sessions: (1) TraditionalMedicine in the National Cancer Institute, (2) Traditional Medicine in India(introduced by the Ministry of AYUSH), (3) Strength of AYUSH and Promising AYUSHInterventions for Cancer and Other Areas (presented by AYUSH scientists), and (4)Research Presentations on Alternate Systems and Cancer (presented by US scientists).The second day of the workshop was devoted to group discussions on (1) NaturalProducts Research, (2) AYUSH Systems of Medicine in Cancer: What Holds Promise, and(3) Generating Evidence Toward Market Access for AYUSH Products and Practice.The remainder of this article summarizes the workshop proceedings; recommendationsfrom the first India-US Workshop on Traditional Medicine, including areas thatdeserve additional development in cancer research and management; and possibleresearch areas for Indo-US collaboration. The article also highlights developmentsin the bilateral collaboration since the workshop.19 O\u2019Keefedescribed the work of NCI\u2019s Natural Products Branch and Molecular TargetsLaboratory. The NCI Natural Products Repository is one of the largest and mostdiverse collections of natural products, housing more than 230,000 extracts. Thegrowth inhibitory effects of these extracts and their fractions are tested in theNCI-60 Human Tumor Cell Line Screen, as well as against discrete cancer-relatedmolecular targets. O\u2019Keefe described how the active components in extractsare isolated, identified, and assessed for their mechanism of action. He discussedthe use of analytical techniques, such as liquid chromatography massspectroscopy\u2013mass spectroscopy to help upgrade the Ayurveda, Siddha, andUnani pharmacopeia and bring it on a par with the US Pharmacopeia.The presenters in this session were Jeffrey D. White, MD , Barry R. O\u2019Keefe, PhD , and Ikhlas Khan, PhD . White presented anoverview of CAM use and research in the United States, with an emphasis on cancer.In fiscal year 2014 , NCI supported 212grants for which some component of the research was relevant to CAM . More th Khan explained the US government\u2019s approach to regulating botanical productsas either dietary supplements or drugs. Important issues in the regulatoryassessments of these products are safety, quality, and efficacy. Several aspects ofproduct quality were examined, including standardization, selection of markercompounds, adulteration, and misidentification. Finally, Khan introduced the Indo-USCenter for Research in Indian Systems of Medicine at the University of Mississippi,which has as its mission the facilitation of scientific validation and disseminationof information on Indian systems of medicine through collaborative research.On behalf of the Ministry of AYUSH, Sharma presented a brief overview of AYUSH andAYUSH research programs, including current collaborations with US institutions.Presentations of promising AYUSH interventions for treating cancer included acollaborative study with the Tata Memorial Centre-Advanced Centre for TreatmentResearch and Education in Cancer, Mumbai, which has identified nine medicinal plantswith potential cytotoxic or cytostatic effects against different types of cancers,including cancers of the oral cavity, lung, ovary, colon, and prostate. In addition,a former patient with cancer shared his experience with treatment through the use ofmeditation, yoga, and Ayurvedic medicines, along with a vegetarian diet and simpleliving.The main thrust of this session was that AYUSH interventions/therapies have thepotential to be used for regression of the disease process in cancer, managing itssymptoms and complications, reducing the adverse effects from chemotherapeuticdrugs, improving quality of life, increasing the survival period, and preventingrecurrences and complications. 20Similarly, a presentation by Subhash Padhye, PhD , demonstrated the potential anticancertherapeutic effects of a Unani intervention, black cumin seeds (Nigella sativa). Themajor active component of black cumin is thymoquinone, which demonstrates cytotoxicactivity against pancreatic cancer cell lines by targeting the prolactinreceptor.Chitra Mandal, PhD , discussed a newmolecule, CM-5, a carbazole alkaloid derived from the plant Murraya koenigii(Rutaceae), commonly known as curry leaf or kari patta, which has shown tumoricidalactivity and also increased the efficacy of known cancer drugs in an animal model ofvarious types of cancers at doses that did not cause serious systemic toxicity. CM-5has also been shown to exhibit antiproliferative activity against several pancreaticcancer cells through apoptosis.The utility of yoga in improving the quality of life in patients with cancer washighlighted through two presentations. R. Nagarathna, MBBS, MD, Medical Director,S-VYASA Deemed University, Bengaluru, and Raghavendra Rao, PhD, Senior Scientist andHead, CAM Program, Health Care Global Enterprises, gave a presentation on theintegration of Ayurveda and yoga with conventional Western medicine to relieve thesymptoms of cancer, notably, nausea, vomiting, fatigability, alopecia, diarrhea,insomnia, pain, and the adverse effects of chemotherapy, radiation, and surgery.Ramesh Bijlani, MBBS, MD, Emeritus Professor of Physiology, All India Institute ofMedical Sciences, highlighted the use of yoga as a potential cancer preventionstrategy. G. Geetha Krishnan, BAMS, MD (Ayurveda), Senior Consultant & Head ofthe Department of Integrative Medicine, Medanta Hospital, discussed his work on theuse of yoga and Ayurvedic therapies, such as Panchakarma, to prevent adverse effectsof radiotherapy and chemotherapy, including nausea, vomiting, and insomnia.A pilot study in which metal-based formulations from Ayurveda were used to treatacute promyelocytic leukemia was presented by Vaidya Balendu Prakash of the VaidyaChandra Prakash Cancer Research Foundation in Dehradun. The study, which wasconducted in collaboration with the Central Council for Research in AyurvedicSciences, the Ministry of AYUSH, and the All India Institute of Medical Sciences,provided some evidence for consistent and sustained antileukemic effects.A preclinical study of the anticancer effect of a homeopathic preparation of Thujaoccidentalis was presented by Gaurisankar Sa, PhD, Division of Molecular Medicine,Bose Institute, Kolkata. Results from this study suggested that homeopathicmedicines prepared from Thuja sulfur and Calcarea carbonica in dynamic or potentizeddoses may be able to induce apoptosis in cancer cells through a p53-dependentpathway in various cell lines studied. Jayesh V. Sanghvi, MD (Homeopathy), Director,Nature Clinic Super Specialty Center in Chennai, proposed homeopathy as a singletherapy or as an add-on therapy for relieving pain and other symptoms and adverseeffects of radiotherapy, chemotherapy, and surgery. N. Deepa, M.Pharm, PhD, Vice Principal, College of Pharmacy, Chennai, discussedSiddha interventions derived from aqueous extracts of two plants that showedanticancer properties in preclinical studies. These extracts were shown to becytotoxic to a cancer cell line, apparently through DNA damaging effects. 21Arvind Kulkarni, MD, Director, Radiation Oncology Department, Lady Ratan Tata MedicalCenter, spoke about integrative oncology and highlighted the functioning of theAyurveda Centre in the Integrated Cancer Hospital, which has been established inPune and declared a Centre of Excellence by Ministry of AYUSH. The Centre has donework in evaluating the efficacy of combinations of Ayurvedic drugs in alleviatingdrug toxicity and improving the quality of life in patients with cancer treated withchemotherapy.This session provided examples of relevant US research projects and programs. NagiKumar, PhD, RD, Director, Cancer Chemoprevention, Moffitt Cancer Center, presentedon chemoprevention and treatment of cancers with botanicals. She provided a detaileddescription of the process of drug development with reference to botanicals anddiscussed current challenges for targeted therapies in cancer, as well as theadvantage of a multitargeted approach through botanicals. Limitations of the presentbiomarker-based approaches were also described, along with ways to overcome theselimitations to facilitate botanical drug development.Hasan Mukhtar, PhD, Helfaer Professor of Cancer Research, Director and Vice Chair forResearch, Department of Dermatology, Wisconsin Medical Sciences Center, presented onnatural products for cancer chemoprevention on the basis of lessons learned fromanimal experiments. Studies exploring potentially effective approaches for cancercontrol in humans were discussed. Encouraging findings from these prevention studiesindicate the need for additional investigations of these and other naturalproducts.Guido Pauli, Pharm D, PhD, Professor and University Scholar at the University ofIllinois at Chicago College of Pharmacy, presented on advancing the holisticapproach to traditional plant-based medicine. He elaborated on the need to studynatural products both qualitatively and quantitatively, and presented approaches fora more holistic analysis that captures the complex constitution of natural healthproducts. Although marker compounds for natural products are used widely andglobally, they should be thoroughly investigated and defined with caution.Validation methodology for chemotaxonomic and bioactive markers as well as potentialleads for active pharmaceutical ingredients should be congruent.Day 2 of the workshop began with discussions to identify research areas for Indo-UScollaboration and to summarize the meeting outcomes. The workshop attendees weredivided into three discussion groups: (1) Natural Products Research; (2) AYUSHSystems of Medicine in Cancer: What Holds Promise; and (3) Generating EvidenceToward Market Access for AYUSH Products and Practices.The natural products research group discussed research methods, training needs,prerequisites for material transfer agreements with US NCI and Indianperspectives, intellectual property rights, and National Biodiversity Authorityperspectives on benefit sharing and commercialization.Several recommendations emerged from these discussions:The need to add capacity for conducting research in natural products,including both single herbs and mixtures. Suggestions included buildinga central repository for cell lines, extracts, and fractions, as well asdeveloping infrastructure for translation of validated research intoclinical practice, including incubation of start-up companies.The need for harmonization of pharmacopeias from India and Westernnations, including the United States. Important for such harmonizationis the creation of a centralized laboratory for analytical methodologydevoted to standardized quality control for Ayurvedic preparations. Sucha facility would lead to the development of standard operatingprocedures (SOPs) for herbal and herbomineral preparations.The proposed enhancement of quality control and standardization inAyurvedic preparations would better ensure the reproducibility ofresults among disparate laboratories to increase transferability betweeninstitutes and countries. To support such reproducibility studies, thegroup recommended that the Ministry of AYUSH encourage multicenterclinical studies on interventions for the most prevalent cancers inIndia and the United States. These studies should use a standard formatfor data collection, analyses, and management. Open dissemination of theresults of such clinical trials and evaluation of their power andreproducibility are critical.Additional recommendations included focusing on the strengths oftraditional medical systems such as rasayanas and the development of specialized expertise inintellectual property rights.The overall goal of this group was to identify research gaps and ultimatelydevelop steps for generating evidence and moving research to practice. The groupdiscussed research methods, training needs, and next steps. The focus was onepidemiology studies, palliative care, and support studies. The discussion ledto the following recommendations:Evidence to translate research to practice should be obtained in aculture of collaboration, ensuring communication and cooperation amongall stakeholders, including AYUSH, extramural scientists, clinicians,and pharmaceutical/biotechnology companies. AYUSH activities should bewell integrated, involving both basic scientists and clinical teams.Basic research is needed to generate robust supporting data for claimsregarding the integrity, safety, and efficacy of botanicals that arewell founded , to inform the development andimplementation of clinical trials.There is a critical need to develop guidelines and standard operatingprocedures to ensure product integrity ,including a clear understanding of biology, molecular targets, safety,and indications for use of AYUSH products.Clinical trials should be performed with scientific rigor and includesafety and clinical efficacy studies. Focus areas should includeadjuvant therapy and remission therapy by AYUSH modalities, benefitsfrom such approaches in the form of personalized medicine, andimprovement in quality of life.Mechanisms should be established that encourage the articulation ofresults of TM observations in scientific meetings and their publicationin peer-reviewed journals.With regard to the training and education of the next generation of TMpractitioners, the group felt that joint Indo-US training programs wouldbe mutually beneficial. One particular recommendation was the jointdevelopment of protocols for clinical and basic research. Such protocolsshould consider quantitative clinical parameters.Finally, the formation of US-India activity groups was recommended tocontinue discussions of relevant topics.The overall goals of this group were to identify gaps, define the key role ofresearch, discuss approaches to implementing validation studies, consider therole of rigorous clinical trials, and identify areas for collaboration thatwould ultimately lead to generating sufficient evidence to move research resultsinto clinical practice. Recommendations from this group included thefollowing:Recognize the need to advance basic sciences in AYUSH by establishingcollaborations among basic, clinical, and population science researchteams as well as the private sector and industry.Establish guidelines and standards for product integrity in terms ofbiology, targets, and rigor/reproducibility, including developing SOPsfor product development, validation, batch-to-batch consistency,preclinical models, and clinical trials.Build centralized Good Manufacturing Practice laboratories, usingestablished manufacturing practices for product development and create ahub for making this information, including cost of production ofproducts, available to all users.Establish a regulatory structure to address consistency in standards ofresearch conduct and compliance.Articulate and publish findings of studies conducted using rigorousscientific methodology.Create cross-disciplinary exchange and scholarships, including a platformfor joint India-US conferences and/or symposia, providing trainingopportunities across and within disciplines.After the workshop, the participating agencies agreed to adopt a multidisciplinaryapproach for moving ahead in the intersection of Indian TM and cancer research.Several meetings have been held with representatives of NCI, HHS, National Instituteof Cancer Prevention and Research (NICPR)/Indian Council of Medical Research, theAll India Institute of Ayurveda and the Ministry of AYUSH. All India Institute ofAyurveda has been declared the nodal center to coordinate AYUSH cancer research inIndia. Under the aegis of an MoU signed with NICPR\u2013Indian Council of MedicalResearch, a Centre for Integrative Oncology has been set up in Noida at NICPR whereofficers from each AYUSH system are stationed to collate all information related tocancer research done in AYUSH systems. This center will also coordinateinternational activities, including with the NCI and HHS. The Ministry of AYUSH hasalso signed memoranda of understanding (MoUs) with the United States PharmacopeiaConvention and Pharmacopeia Commission of Indian Medicine and Homoeopathy;Homoeopathic Pharmacopeia Convention of United States and Central Council forResearch in Homeopathy and Pharmacopeia Commission of Indian Medicine andHomoeopathy. This will help in the development and harmonization of pharmacopeiasfor the traditional systems of medicine. The Ministry of AYUSH is also deputingofficers to the National Centre for Natural Products Research, University ofMississippi, for postdoctoral training. A draft MoU between HHS and the Ministry ofAYUSH is in the process of finalization, with the aim of facilitating capacitybuilding and joint academic and research collaborations. These progressivedevelopments will help take forward the shared commitments of the two countries inthe field of TM.In conclusion, the workshop served as an important initial engagement for theMinistry of AYUSH, HHS\u2013Office of Global Affairs, and NCI to discusscooperative activities in areas including research training and research programs.These discussions highlighted the opportunities to develop rigorous scientificportfolios and collaboration, while integrating existing knowledge, clinical bestpractices, and considering regulatory issues that govern the process of bringingscientific results to the benefit of public health.The workshop provided a comprehensive understanding of existing gaps, such asinclusion of rational and scientific approaches for drug development; policies andprocedures that can help develop milestones/expected outcomes; promotion ofcollaborative research; implementation of regulatory structures to ensure productreproducibility; and development of procedures and principles for productvalidation. The workshop also provided the opportunity for NCI and AYUSH researchersto begin engagement that continues as agreements and priorities are formalized.Several important recommendations emerged from the workshop, such as the need forbasic sciences in deepening the understanding of TM; creation of cross disciplineexchange/scholarships; development of centers of excellence; centralizedlaboratories; a platform for joint India-U.S. conferences and symposia to share andacquire knowledge; a hub of standardized information; regulatory structure andcompliance; and development of Good Manufacturing Practice facilities. It would seemhighly beneficial to link together some of the well-established centers in India forbasic, translational, and clinical research with joint projects. Such projectsshould emphasize product supply and encourage industries to participate in productdevelopment. Development of plant biotechnology was another area of interest.Implementing data and procedure optimization via development of SOPs and validationprocedures was highly recommended. Development of training programs for TMscientists and medical practitioners, as well as crosstraining opportunities acrossall relevant disciplines, was also prominent among the recommendations.The first bilateral workshop provided a strong foundation for AYUSH, NCI, and theirpartners to work together on implementing the recommendations for better developmentand promotion of the growth of traditional Indian medicine research, advancing itsevidence-based practice, and defining its role in the care of patients with cancerin an integrated fashion with conventional biomedicine. A Centre for IntegrativeOncology is in place to coordinate interactions on cancer-related research at thenational and international levels. One of the premium institutes of Ayurveda hasbeen designated as a nodal institute for cancer research. Efforts are under way toformalize the collaboration between HHS and AYUSH to advance the research andregulatory capacity of TM."}
+{"text": "Adult protective services (APS) and other community-based agencies respond to hundreds of thousands of elder abuse cases each year in the United States; however, little is known about what constitutes success in the context of elder abuse response intervention. This study explored the meaning of elder abuse intervention success from the perspective of victims themselves toward the development of a victim-centric taxonomy of outcomes. Guided by a phenomenological qualitative methodology, this study conducted in-person, semi-structured interviews with a sample of elder abuse victims (n = 30) recruited from APS in the states of Maine, New York, and California, as well as a community-based elder abuse social service program in New York City. To enhance trustworthiness, two researchers independently analyzed transcript data to identify key transcript statements into themes. Outcomes of success were identified across broad domains related to the victim, perpetrator, victim-perpetrator relationship, family system, and home environment. Specifically, common themes represented outcomes related to victim safety, autonomy, social support, and state of mind; perpetrator independence and accountability; and victim-perpetrator separation. For decades, the field of elder abuse has struggled to understand how to define success in the context of community-based intervention from a client-centered perspective. The taxonomy developed in this study provides a comprehensive and conceptually organized range of successful outcomes to serve as infrastructure for the development of meaningful intervention outcome measures. This study represents one of the largest efforts to understand and integrate the perspectives and needs of victims into elder abuse intervention practice/research to date."}
+{"text": "Despite the wide recognition of the multifactorial nature of Alzheimer\u2019s disease (AD), mechanisms of the collective influence of genetic and environmental factors on AD remain poorly understood. We used the Cardiovascular Health Study (CHS) and Framingham Heart Study (FHS) data to investigate the effects of genetic and gene-environment interactions on AD prevalence in the association analysis using logistic regression. Based on results of this analysis, we developed several new measures of integrated effects of SNPs, including for specific gene or group of genes, by constructing SNP-specific Interaction Polygenic Risk Scores (SIPRSs), Gene-specific Interaction Polygenic Risk Scores (GIPRS), and Trait-specific Interaction Polygenic Risk Scores (TIPRS), and tested them in the above data. We found strong interaction effects on AD among the SNPs in NRG3 gene and smoking, and among the SNPs in ATM and creatinine. In summary, we developed a new approach to measuring the collective impact of SNPs on complex traits, and discovered significant effects of the newly constructed SIPRS, GIPRS, and TIPRS on AD prevalence. The results of this study open a new opportunity of investigating the joint impacts of genetic and environmental factors on AD and other phenotypes of aging and health."}
+{"text": "Following publication of the original article , the autCenter for Disease Control and Prevention, Kisumu, KenyaOriginally the affiliation for Felix Humwa and Vallarie Opollo has been published as:Kenya Medical Research Institute (KEMRI), Kisumu, KenyaThe correct affiliation is:The corrected list of affiliations is included in this Correction."}
+{"text": "We demonstrate how application of analytic approaches developed in demography, biodemography, epidemiology, and population studies to Medicare and Medicare-linked data allows to identify causes and mechanisms of disparities in AD/ADRD. Our studies i) confirmed geographic disparities in AD mortality but did not detect them in Medicare data, ii) confirmed racial disparities in AD/ADRD incidence and survival and demonstrated that they can be partly explained by heterogeneity in diagnosis severity and partly by genetic factors, iii) detected unexpectedly strong effects of systemic hypotension, chronic kidney and liver diseases on the risk of AD/ADRD. We concluded that further progress in understanding of mechanisms and causes of the disparities in AD/ADRD is possible by clarifying the role of cause-of-death coding, the effects of comorbidity and their treatment, dynamics in cognition scores before AD/ADRD diagnosis, and genetic factors."}
+{"text": "Microbes and Environments, the nitrogen cycle is one of the most important and commonly researched topics in the field of environmental microbiology.If a story was written entitled the \u201cKingdom of Microbial Ecology\u201d, how would the characters and plot be decided? Many microbiologists will agree with the following: the primary story setting involves a magnificent castle (a habitat) in fertile land with bright sunlight (the energy source), and the king and queen are the carbon and nitrogen cycles, respectively. Although this is an unusual way to begin a research highlight article in Nitrogen is among 6 major essential elements of CHNOPS for life and composes the building blocks and intact molecules for metabolism (amino acids and proteins), heredity (nucleotides and nucleic acids), and other important biological functions. Among the essential elements, circulating volumes of biologically available nitrogen and phosphorus are slightly limited in many biospheres of the planet, and, thus, as a whole, the biological demand for nitrogen and phosphorus and their circulation speeds are markedly greater and faster than those for carbon . Further2) and reactive nitrogen processes, nitrogen fixation and denitrification (2 to reactive nitrogens (such as NO) always occurs with lightning, which provides reactive nitrogens to the land and ocean , nitric oxide (NO) and nitrous oxide (N2O), has been recognized in many scientific and social contexts. Nitrification, denitrification, dissimilatory nitrate reduction to ammonium (DNRA), assimilatory ammonication, and anaerobic ammonium oxidation (Anammox) each through the transformation of these intermediate nitrogen metabolites and intermediates in natural microbial communities may be multi-directionally transformed by the complex nitrogen metabolism of various populations in response to intra- and extracellular physicochemical conditions and reaction dynamics through interspecies interactions in coastal eelgrass sediments and suggested that sulfur-oxidizing Gammaproteobacteria and Bacteroidetes populations contribute to N2O removal in eelgrass sediment microbiomes. Siqueira et al. respond to the physicochemical conditions of habitats . Although nitrous oxide reduction (with and without nosZ) is not key for denitrification, the abundance of nitrate reduction (the expression of napA) may be more important. Jang et al.(Bradyrhizobium nitroreducens from rice paddy soil that hosted and co-expressed two types of nitrite reductase genes (nirK and nirS), and the majority of denitrifiers are known to possess and use each of the two types of nitrite reductases. These are also excellent examples of the complexity of the nitrogen cycle in natural microbial communities.In catabolic and anabolic metabolic pathways, the significance of intermediate nitrogen metabolites, such as nitrite ; however, the enzymatic entity that catalyzes the oxidation of hydroxylamine to nitrite, corresponding to hydroxylamine dehydrogenase (Hao) in the case of ammonia-oxidizing bacteria (AOB), remains unclear and alsoet al. demonstra et al. and Nuno (et al. reported unclear . AOA are unclear . Using ti et al. confirmei et al. ; howeverMicrobes and Environments in the last two years have been awarded to studies on the nitrogen cycle. Therefore, the large, fast, and complex nitrogen cycle has attracted the attention of many environmental microbiologists worldwide, and Microbes and Environments has significantly contributed to lifting the veil of secrecy surrounding \u201cthe Queen of the Kingdom of Microbial Ecology\u201d.The MVPs in"}
+{"text": "Allopurinol (xanthine oxidase inhibitor) is indicated for the treatment of symptomatic hyperuricemia, the treatment of gout and the treatment and prevention of uric and calcium lithiasis. It is one of the leading drugs for severe toxic dermal reactions, such as Lyell Syndrome (NET), Stevens-Johnson Syndrome (SJS) and Dress Syndrome (Drug reaction with eosinophilia and systemic symptoms). We report the case of a 45-year-old woman who was hospitalized for bullous skin rashes, without pathological history, the patient had generalized erythematous and bullous rash one week after taking allopurinol, prescribed by his rheumatologist for a gout. The diagnosis of bullous Cutaneous reaction due to allopurinol was retained, allopurinol was discontinued and the course was favorable with the disappearance of cutaneous lesions."}
+{"text": "The goal of this review is to confer recent advances in our understanding of the brain ISS, including its structure, function, and the various processes mediating or disrupting ISF drainage in physiological and pathological conditions. The brain ISF in the deep brain regions has recently been demonstrated to drain in a compartmentalized ISS instead of a highly connected system, together with the drainage of ISF into the cerebrospinal fluid (CSF) at the surface of the cerebral cortex and the transportation from CSF into cervical lymph nodes. Besides, accumulation of tau in the brain ISS in conditions such as Alzheimer\u2019s disease and its link to the sleep-wake cycle and sleep deprivation, clearance of ISF in a deep sleep via increased CSF flow, novel approaches to remove beta-amyloid from the brain ISS, and obstruction to the ISF drainage in neurological conditions are deliberated. Moreover, the role of ISS in the passage of extracellular vesicles (EVs) released from neural cells and the rapid targeting of therapeutic EVs into neural cells in the entire brain following an intranasal administration, and the promise and limitations of ISS based drug delivery approaches are discussedThe brain interstitial fluid (ISF) and the cerebrospinal fluid (CSF) cushion and support the brain cells. The ISF occupies the brain interstitial system (ISS), whereas the CSF fills the brain ventricles and the subarachnoid space. The brain ISS is an asymmetrical, tortuous, and exceptionally confined space between neural cells and the brain microvasculature. Recently, with a newly developed The brain is made up of neural cells such as neurons, astrocytes, oligodendrocytes, and microglia, the vasculature comprising arteries, arterioles, capillaries, venules and veins, and the interstitial system (ISS) The brain cells are cushioned and supported by two forms of brain-specific fluids, the brain interstitial fluid (ISF) and the cerebrospinal fluid (CSF) , 2 The IThe ISS is circumscribed by the plasma membrane of neurons or glia and the wall of blood vessels Fig. 1)Fig. 1). +/K+-ATPase enzymes in the cell membrane [The constituents of the ISS comprise ISF, ECM, and diffusely distributed interstitial matrix (ISM) Fig. 1)Fig. 1). membrane , 27.The ECM, an abundantly hydrated net-like assembly produced by cells and disintegrated by enzymes, comprises collagen, elastin, glycosaminoglycans, proteoglycans, and glycoproteins such as tenascin, reelin, laminin, and fibronectin , 28-30 . Besidesin vivo using single-photon emission computed tomography (SPECT)/positron emission tomography (SPECT/PET), and magnetic resonance imaging (MRI) will be needed to validate the above possibility.The cerebrospinal fluid (CSF) resides in the subarachnoid space covering the entire surface of the brain and the brain ventricles. The CSF serves as a reservoir for the ISF, and an extensive communiqu\u00e9 between the ISF and CSF helps in the removal of waste products from the brain ISF , 45 Fig. Such anSome exchange of substances also occurs between the ISF and the cytoplasm of neural cells as the plasma membrane of neurons and glia is selectively permeable to specific ions and molecules -55 Fig.. MoreoveThe ISS of the brain is dynamic, which provides a route for cross-talk between elements of the vascular system and neural cells. The role of ISS includes the facilitation of communication between neural cells, processing and integration of information, and coordinated response to changes in the brain environment , 62-66. The ISS also facilitates the passage of neural cell derived EVs into local and distant sites in the brain and to the bloodstream. EVs are broadly classified as microvesicles (MVs) having a size of 100-1000 nm and exosomes (EXs) ranging in size from 30-150 nm. Microvesicles directly bud-off from the plasma membrane of cells , 77 wherThe biophysical and biochemical balance between CSF and ISF is crucial for the metabolism of brain cells and drugs, and hence, continuous exchanges between CSF and ISF are critical . Three pKiviniemi and associates, using ultra-fast MRI techniques have demonstrated that three discrete pulsation processes in the human glymphatic system facilitate the exchange between ISF and CSF . The swiIn conditions such as hydrocephalus, increased ventricular pressure causes high ependymal permeability and enhances the flow from CSF to ISF, which leads to interstitial edema of white matter . HoweverThe pathological changes in conditions such as glioma or stroke can alter multiple aspects of the ISS, which may include changes in geometry, ECM and its components, the constituents of the ISF, and the transport of substances in the ISS , 101. InIn ischemic stroke, studies have shown decreased ISS volume as a result of cytotoxic edema , and incThe failure rate of CNS drugs in both preclinical and clinical studies is much higher than non-CNS drugs , 122. InNonetheless, further refinements are necessary for CED to be translated successfully to the clinic. Notably, a device that avoids the backflow or reflux of injection and mechanical damage to the brain tissue is needed -131. FurMany exciting advances occurred in the past decade regarding our understanding of brain ISS. The new developments in the field include identification of differential ISF drainage in distinct functional segments of the brain, and several routes and mechanisms underlying the drainage of ISF into ventricles and the subarachnoid space. Interestingly, tau accumulation in the brain ISS and sleep deprivation augmenting that process have been identified as one of the factors that facilitate the spread of tau in AD. Additional studies have also shown the promise of the removal of beta-amyloid from the brain ISF for improving cognitive function in AD. On the other hand, ISS-based drug delivery, though promising, needs further development and refinement for a successful clinical application of this approach."}
+{"text": "Family members often serve as informal caregivers for the first line of care. The complexity of family caregiving suggests the need to examine the personal and environmental resources that contribute to caregivers\u2019 psychosocial well-being. Informed by the life course perspective, this study investigates the impacts of providing care to a family member on global and daily psychosocial well-being, and the moderating influences of age, gender, marital status, and social support. The sample consists of 1449 participants from Midlife in the United States (MIDUS-II: Main and Diary) survey. Regression and multilevel models results indicated greater global negative affect and daily stressors in caregivers as compared to non-caregivers. In line with the positive correlates of caregiving, caregivers reported greater daily positive events. Age, gender, and marital status significantly moderated the associations between caregiving and well-being. Findings showed that services aimed at family caregivers should take into account of personal resources."}
+{"text": "Antimicrobial resistance is projected to become the leading cause of death worldwide, claiming an estimated 10 million lives a year by 2050, primarily in low- and middle-income countries.,Antimicrobial resistance develops in, and is maintained and transmitted across humans, animals and the natural environment. Resistance is an ancient and naturally occurring phenomenon, but anthropogenic antibiotic use since the 1930s has been linked to the increasing occurrence of antimicrobial-resistant microorganisms, particularly bacteria.One of the key guiding principles of the national plans is to use a One Health approach and multisectoral coordination. This principle gives the various collaborating organizations equal status and emphasizes a sense of ownership of the plan.We analysed the 18 national action plans published in English between 2015 and October 2017 to deterBox\u00a01United Republic of Tanzania (2017)Barbados (2017) and Canada (2017)Oman (2017)Denmark (2017) and Sweden (2016)Bangladesh (2017), India (2017), Indonesia (2017), Maldives (2017), Nepal (2016), Sri Lanka (2017), Thailand (2016) and Timor-Leste (2017)China (2016), Japan (2016), Mongolia (2017) and New Zealand (2017),Ten out of 18 action plans followed the World Health Organization (WHO) guidelines and identified five objectives in line with the global action plan on antimicrobial resistance: (i)\u00a0improve awareness and understanding of antimicrobial resistance through effective communication, education and training; (ii)\u00a0strengthen the knowledge and evidence base through surveillance and research; (iii)\u00a0reduce the incidence of infection through effective sanitation, hygiene and infection prevention measures; (iv)\u00a0optimize the use of antimicrobial medicines in human and animal health; and (v)\u00a0develop the economic case for sustainable investment that takes account of the needs of all countries, and increase investment in new medicines, diagnostic tools, vaccines and other interventions.The most frequent term across all action plans was that,Although most plans have been drafted by multisectoral coordination teams who acknowledge that One Health guides their approach, the predominance of topics around human-animal health and the scarcity of topics around the natural environment suggests that there are more representatives of human-animal health in the coordination teams. The reason for this could be twofold. First, we have an increasing understanding of resistance mechanisms in human-animal systems, alongside better developed surveillance methods, and longer-term collaborations among key agencies, such as WHO, the Food and Agriculture Organization of the United Nations (FAO) and the World Organisation for Animal Health (OIE).Antimicrobial resistance is a complex multisectoral challenge. Some progress is being made towards embedding a One Health approach in national action plans on antimicrobial resistance. For example, the national plan of Sri Lanka provides an example of a cross-sectoral approach including expertise from rural economy, fisheries, aquatic sciences, veterinarians and public health, and the national plan of India includes an objective on reducing the environmental spread of antimicrobial resistance. However, our analysis suggests that the first set of national action plans have not been wholly successful in incorporating a One Health approach. The plans have prompted the establishment of multisectoral committees and, in some cases, governance. Yet, while human and animal health feature prominently, the natural environment has yet to be fully integrated into these plans. Since the natural environment is a key source and driver of antimicrobial resistance, as highlighted by the WHO/OIE/FAO Tripartite and by the global action plan on antimicrobial resistance,"}
+{"text": "Chronic venous disorders are common vascular pathology of great medical and socioeconomic impact, characterized by a wide spectrum of clinical manifestations occurring with symptoms and/or signs that vary in type and severity. The predominant pathophysiological mechanisms of chronic venous disease start from the development of venous hypertension from shear stress and reflux, leading to endothelial dysfunction and venous wall dilatation. The altered hemodynamic transduces physical signals into harmful bio-molecular pathways, creating a vicious cycle among shear stress, proteolytic remodeling, and inflammatory processes. This intricate network is further exacerbated by the degradation of protective endothelial glycocalyx. In this special issue, at least three main aspects of these interactions are highlighted: the dangerous, the good, and the diverse, which may help to focus attention on the biomolecular mechanisms and the possible targeted therapy of chronic venous disorders (CVeD). Chronic venous disorders (CVeD) are common lower extremity vascular pathologies of great medical and socioeconomic impact , affecting a large part of the population worldwide and significantly decreasing the quality of life of affected patients ..4].The enhanced production, secretion, and activation of several enzymes induced The properties and functions of glycosaminoglycan (GAG) layer, forming a protective barrier in endothelial cells, are critical for the maintenance of water, ions, and protein balance between the intra- and extra-vascular compartments . The cheThe highly negatively charged, unbranched polysaccharide family of GAGs may mediate chemokine mobilization, modulating the recruitment of leukocytes and neutrophils, a vital process in inflammation . InteresIn vitro and in vivo studies have highlighted that the GAGs of endothelial glycocalyx have a profound influence on the vascular wall physiology through: (1) the transmission of shear stress, as mechano-transducer of some hemodynamic stimuli; (2) the maintenance of a selective permeability barrier and a low hydraulic conductivity, like a protective layer for the endothelial cells, both in arteries and veins; and (3) the modulation of blood leukocytes, lymphocytes, and platelets adhesion, limiting extravasation of reactive cells capable of inducing inflammation and proteolysis in blood vessel microenvironment. So, endothelial glycocalyx (and its GAG constituents) represents the good but fragile barrier of both vein and artery wall .The major constituents of the endothelial glycocalyx may be degraded from the endothelial surface under various acute and chronic clinical conditions; a plethora of proteolytic enzymes may have a wide array of potentially destructive capability against vessel GAGs. In fact, other than the well-known matrix metalloproteases, also heparinases, hyaluronidase, and serine proteases , as well as cathepsins, may lead to loss or destruction of GAG from the endothelial surface layer . All theIn this respect, pharmacological agents may dispThe glycosaminoglycans physiologically present as a protective layer and a significant barrier for all endothelial cells , as wellSeveral studies provided evidence that the integrity of GAG compounds of endothelial glycocalyx plays crucial roles and protective functions in several vascular diseases. The loss and/or degradation of glycocalyx prone the vessel wall to the development of inflammatory and proteolytic damages \u201copening the door\u201d for: (a) the mechano-transduction of acute and chronic stimuli; (b) the increased permeability barrier; (c) enhancing harmful adhesion of blood leukocytes, lymphocytes, and platelets; and (d) favoring extravasation of the reactive blood cells capable of induce inflammation and proteolysis in blood vessel microenvironment ,3,14.On the other hand, studies on the GAG-based drugs have demonstrated its \u201cJanus Bifrons\u201d vascular protective properties , throughSeveral veno-active drugs may counteract the hemodynamic, inflammatory, and proteolytic pathologic mechanisms of venous diseases, including all stages of CVeD ,17 but aThe potential of these veno-active and veno-protective drugs is mainly focused to limit the initiation/progression of early stages of CVeD, accelerating also the wound closure in the late stages of CVI, suggesting then a potential utility of GAG-based drugs in endothelial dysfunctions as a promising therapeutic approach for patients suffering of both deep-vein thrombosis and pulmonary embolism, serious and complicated pathologies with significant clinical and epidemiological impact in the elderly reviewed in .An updated consensus highlighted all the clinically complex aspects included in the terminology Chronic Venous Disorders (CVeD), including early clinical pictures which cannot be called simply \u201cdisease\u201d compared to the late stages CVI mainly due to insufficient venous drainage, edema, skin damage, and leg ulcers . This clIt is noteworthy that for resolving CVeD we need to take into account different approaches: on one hand, the ability of pharmacological therapy to target the dangerous biochemical events, on the other hand the positive role of the physical \u201canti-stasis\u201d effects of both compression and/or surgical reflux ablation.The first endothelial alterations induce and guide the subsequent harmful inflammatory and proteolytic cascades, mainly evidenced by the classic hemodynamic CVeD symptomatology .Starting from the primum movens, the complicated network of the CVeD is further exacerbated by the vicious cycle, giving life, over time, to progressive pictures of varying severity, from telangiectasia to varicose veins , to edema and cutaneous trophic lesions up-to venous ulcers (characteristics of CVI), including also venous thromboembolism ,8. It isAn understanding of the hemodynamic-inflammatory-proteolytic biomolecular mechanisms and events may help to orientate the treatment in a more targeted way to the needs of the individual patient suffering of CVeD ,17. The Finally, GAG-based drugs represent the good and the diverse to counteract the dangerous network among hemodynamic, inflammatory, and proteolytic processes occurring from the early stages of symptomatic varicose veins to severe steps of ulcers including the post-thrombotic patients, stigmatizing the fundamental role of the biomolecular mechanisms of endothelium in the management of vascular diseases."}
+{"text": "HIV/AIDS continues to be one of the most challenging individual and public health concerns of our days. According to the latest UNAIDS data, in 2018, roughly 37.9 million individuals were infected with HIV globally, while around 770,000 people died of AIDS-related illness . Gene thStill, different challenges remain in anti-HIV drug therapy/prophylaxis, and these include the following, among others: (i) the onset of severe adverse effects leading to the discontinuation or interruption of therapy or even prophylaxis ,9; (ii) This Special Issue presents an exciting series of reviews and original research articles from eminent scientists in academia and different nonprofit organizations involved in the development of antiretroviral drug products, focusing mainly on novel strategies for the formulation and delivery of anti-HIV compounds. Innovative approaches towards improved gene therapy and immunotherapy are also addressed. The presented reports provide not only interesting overviews and opinion on recent developments in the broad field of antiretroviral therapy/prophylaxis and drug delivery, but also describe the development of new products that are currently tracked for clinical testing.The Special Issue starts with an interesting review by Tsukamoto at Kindai University, Japan, on strategies explored for curing HIV infection using a combination of gene therapy and host immunization . In partIn the first original research study included in the Special Issue, the group of Veiga at the Complutense University of Madrid, Spain, provides details on the development of mucoadhesive tablets for the vaginal delivery of tenofovir, in the context of topical PrEP . The comStill in the area of prophylaxis, the team led by Banga at Mercer University and CONRAD, USA, propose a new transdermal delivery system for tenofovir alafenamide, a nucleotide reverse transcriptase inhibitor . The silco-glycolic acid)-based nanoparticles were developed as carriers for the co-delivery of griffithsin and dapivirine, two potent candidate microbicide compounds. Studies in vitro showed that the proposed formulation not only featured interesting technological properties (including biphasic drug release), but also allowed a synergistic antiretroviral effect to be obtained. In another paper pertaining to the application of nanotechnology against HIV infection, Grande et al. reviewed the literature for nanocarriers of reverse transcriptase inhibitors [Rohan and colleagues at the University of Pittsburgh, Magee-Womens Research Institute, University of Louisville and International Partnership for Microbicides, USA, contributed an interesting study that further endorses the potential of nanotechnology-based microbicides . In theihibitors . In thisPharmaceutics possible.I hope that researchers involved in the fields of antiretroviral drug delivery and anti-HIV therapy/prophylaxis may find useful and stimulating information here that can be translated into their own ongoing and future work. A final word of appreciation is due to all the contributing authors, anonymous reviewers, and editorial staff at MDPI for making the publication of this Special Issue of"}
+{"text": "Food insecurity or insufficiency, among other factors, is triggered by structural inequalities. Food insecurity is an inflexible problematic situation in South Africa. The country has a custom of evidence-based decision making, stocked in the findings of generalized national household surveys. Conversely, the deep insights from the heterogeneity of the sub-national analysis remain a principally unexploited means of understanding of the contextual experience of food insecurity or insufficiency in South Africa. The data present the food insufficiency status with special focus on adult and children. The data also reveal the adult and children food insufficiency status across the provinces in South Africa. The data contains socioeconomic and demographic characteristics as well the living condition and food security status of the households. A questionnaire was administered to a household to elicit information on household members. The survey covers all legally recognized household members of households in the nine provinces of South Africa. The survey does not cover collective living quarters such as student hostels, old-age homes, hospitals, prisons, and military barracks but specifically on households. The General Household Survey (GHS) collects data on education, health and social development, housing, access to services and facilities, food security, and agriculture.The data in In In the same vein, the data in 2The dataset employed is the General Household Survey (GHS), 2016. The dataset was compiled based on stratified two-stage design, and a total of rural and urban 21,218 households were interviewed containing 72,604 respondents. The dataset were coded in SPSS software 22 version which the descriptive part of the research such as mean, frequency, standard deviation were carried out. In addition, the inferencial statistics were carried out on STATA package 13 using the FGT index to classify the respondents into food secured or otherwise. The dataset was robust and representative enough to generalize on the household food sufficiency status of South Africa.Acknowledgements"}
+{"text": "Adults aged 70 and older have the highest suicide rates in most countries across the globe . Prevalence may increase as the Baby Boomers transition into older adulthood . Disease and disability increase risk for late-life suicide, thus identifying opportunities to intervene within the network of services utilized by older adults with illness and disability could reduce suicide risk. This symposium will explore the impact of disease and disability on late-life suicide risk, and present novel ideas for intervention and prevention. Emphasizing the conference theme, we will discuss prevention points spanning networks of care, including mental health and social services, and long-term care. Dr. Bower will frame the scope of the problem by presenting findings of age-stratified associations between physical illness and suicide attempt among older veterans using secondary data from a retrospective case-control study of veterans. Ms. Lutz will present findings on the relationship between disability and suicidal thoughts from a clinical trial of problem-solving therapy. Dr. Lane will discuss management and identification of suicide risk factors during the transition from independent living to long-term care through the lens of a case-series. Dr. Fullen will present preliminary findings from a novel, randomized controlled trial of a community-based suicide prevention training program for nutrition service volunteers. Dr. Yeates Conwell, Co-Director of the Center for the Study and Prevention of Suicide and Director of the Geriatric Psychiatry Program at the University of Rochester Medical Center, will serve as the discussant."}
+{"text": "Cushing\u2019s syndrome (CS) is a set of clinical symptoms which occur as a result of hypercortisolemia. Endogenous ACTH-dependent CS related to an ectopic ACTH-secreting tumour constitutes 12%\u201317% of CS cases and is one of the most common causes of paraneoplastic syndromes. This study presents a case of a 31 year-old man with diabetes, hypertension, rosacea, purple stretch marks and hypokalemia. Findings of diagnostic procedures include high concentrations of cortisol and ACTH, pituitary microadenoma and a tumour in the anterior mediastinum. Dynamic hormone tests determined the source of excess hormone secretion and ectopic ACTH-dependent CS was diagnosed. Due to increasing symptoms of superior vena cava syndrome, an emergency resection of almost the whole tumour was performed, with only a small part of the upper pole left because of the proximity of large vessels and a risk of damaging them. On the basis of histopathological tests, an atypical carcinoid tumour of the thymus was identified. Immediately after the surgical procedure, there was a significant reduction of clinical and laboratory traits of hypercortisolemia, yet, during the 46 weeks of postoperative observation, despite chemotherapy, the progression of residual masses of the tumour occurred with metastases and increased hormone indices. The presented case shows and discusses the differentiation of ACTH-dependent hypercortisolemia and its causes, difficulties in surgical therapy and chemotherapy, as well as prognosis for atypical carcinoid of the thymus, which is a rare disease. Cushing\u2019s syndrome (CS) is a set of clinical symptoms which occur as a result of hypercortisolemia. An excessive concentration of cortisol in the body can have either exogenous or endogenous aetiology. In most cases, its origin is iatrogenic. The incidence of this rare disease is 0.7\u20132.4 cases in a million of the population in a year ,2. ThereA smoking 31-year-old man with 1.5-year history of poorly controlled hypertension treated with angiotensin inhibitor and calcium channel blockers and a 6-month history of diabetes with metabolic imbalance treated with intensive functional insulin therapy and with metformin was admitted to the Clinic of Endocrinology, Diabetology and Internal Medicine of the Regional Specialist Hospital in Olsztyn. The patient was admitted as he manifested clinical and laboratory features of hypercortisolemia and body weight loss of about 18 kg in 6 months, swelling of lower limbs, decreased muscular strength/power, mood changes and lower back pain.2, WHR 0.86, conjunctival hyperaemia, oedema, erythema and lividity of the skin on the neck and face, dilated neck veins, spread papulopustular rosacea, purple stretch marks on the hips and thighs, amyotrophy of proximal limb muscles . After fThe first descriptions of CS concerning ACTH-secreting tumours not located in the pituitary gland come from 1928 . The terThe patient was diagnosed with ACTH-dependent CS on the basis of hormone tests: high concentrations of ACTH and cortisol with a rigid circadian rhythm and no suppression of cortisol secretion in 2 mg dexamethasone suppression test. Imaging tests showed both a tumour of the anterior lobe of the pituitary gland as well as a massive tumour in the mediastinum. Both lesions could have led to hypercortisolemia, thus, differentiation of ectopic and pituitary overproduction of ACTH was made. Both very high concentrations of ACTH as well as no response in the CRH test unambiguously confirmed ectopic ACTH secretion. Moreover, a significantly increased concentration of chromogranin A suggested neuroendocrine nature of the tumour in the mediastinum, which was confirmed in the histopathological tests of postoperative material, in which traits of an atypical carcinoid of the thymus were found. The ACTH ectopy was ultimately confirmed by normalization of its concentration on the second day after the operation. A neurogenic tumour of the thymus is a rare malignant primary carcinoma of the thymus which taA CT scan of the chest with contrast is a test of choice in the case of neuroendocrine tumours of the thymus. It reveals a large irregular or patchy mass in the anterior mediastinum, with a heterogenous contrast enhancement and foci of necrosis in the central section of the tumour, at times with microcalcifications. Histological differentiation of neuroendocrine tumours of the thymus includes three categories: low grade of malignancy (well differentiated G1 neoplasms), intermediate grade of malignancy (moderately differentiated G2 neoplasms), and high grade of malignancy (poorly differentiated G3 neoplasms). The majority of thymic tumours belong to the group of well differentiated neoplasms . ImmunohUntil 2016, the total number of cases of neuroendocrine tumours of the thymus was about 400 , while aThe treatment of choice in cases like the one presented here is early total operative resection which, iACTH-dependent hypercortisolemia requires deep diagnostics to know the real aetiology of the disease. When diagnosing ectopic ACTH secretion syndrome, it should be remembered that its cause may be very rarely occurring atypical carcinoid tumour of the thymus\u2014a neoplasma with extremely poor prognosis. The procedure of choice is complete surgery, which is only possible in some cases. Adjuvant treatment is chemotherapy, radiotherapy, and in the case of expression of somatostatin receptors, SST receptor analogues. The grade of histological malignancy, the size of the tumour, non-complete resection, no expression of SST receptors, distant metastases, progression of residual mass of the tumour and concentrations of particular hormones can be additional very unfavourable prognostic factors, as in the presented case."}
+{"text": "The first speaker is Dr. Thomas Ferris the Center Director of the NSF Center for Health Organization Transformation (CHOT). Dr. Ferris will provide a high-level overview of CHOT and provide the audience with a greater understanding of its history, funding, partners, and accomplishments. In this section, the mission, annual research model, and the I/UCRC planning integration framework will be reviewed and discussed. The NSF CHOT is the only Industry-University Cooperative Research Center (I/UCRC) focused on innovations in healthcare delivery in the nation. CHOT researchers work alongside the Industry Advisory Board (IAB) to conduct research that supports the implementation of evidence-based transformational strategies within the healthcare sector. During this symposium, Dr. Ferris will discuss some of the challenges and opportunities that can arise from these partnerships. More importantly, in this section will speak to how value is created through these collaborative efforts and how ultimately this can improve health outcomes."}
+{"text": "West J Emerg Med. 2019 March;20(2):409\u2013419Best Practices for Evaluation and Treatment of Agitated Children and Adolescents (BETA) in the Emergency Department: Consensus Statement of the American Association for Emergency PsychiatryGerson R, Malas N, Feuer V, Silver GH, Prasad R, Mroczkowski MMErratum inWest J Emerg Med. 2019 May;20(3):537. Pediatric BETA Consensus Guideline Working Group members should not be included in full author list. The author list has now been corrected on this erratum.AbstractIntroduction: Agitation in children and adolescents in the emergency department (ED) can be dangerous and distressing for patients, family and staff. We present consensus guidelines for management of agitation among pediatric patients in the ED, including non-pharmacologic methods and the use of immediate and as-needed medications.Methods: Using the Delphi method of consensus, a workgroup comprised of 17 experts in emergency child and adolescent psychiatry and psychopharmacology from the the American Association for Emergency Psychiatry and the American Academy of Child and Adolescent Psychiatry Emergency Child Psychiatry Committee sought to create consensus guidelines for the management of acute agitation in children and adolescents in the ED.Results: Consensus found that there should be a multimodal approach to managing agitation in the ED, and that etiology of agitation should drive choice of treatment. We describe general and specific recommendations for medication use.Conclusion: These guidelines describing child and adolescent psychiatry expert consensus for the management of agitation in the ED may be of use to pediatricians and emergency physicians who are without immediate access to psychiatry consultation.PMCID: PMC6404720 [PubMed - indexed for MEDLINE]"}
+{"text": "Despite an established positive link between social wealth, health, and social capability among older adults, the effect and mechanisms among these factors are understudied. This paper uses the WHO Study on Global Ageing and Adult Health (SAGE) data and a mediation analysis method, combing social capital theory and a social capabilities approach, to provide new evidence on the effects of financial resource, physical function, and cognitive function on the social capabilities of older adults (aged 55 and above) in China and the possible mediating role of social network in this relationship. The descriptive analysis results show that urban older adults , on average, had lower freedom of expression, lower sense of living safety, and less frequent community participation, while having better self-perceived health, higher physical and cognitive functions, more household income, and higher educational background than their rural peers . The Baron and Kenny\u2019s mediation analysis results show that social networks accounted for a substantial proportion of the effects of wealth and health on social capabilities, but wealth and health still had strong, positive direct effects of its own. Higher mediating effects of social networks were found in the association between functions and social capabilities of freedom of expression (9.46%) and sense of safety (36.33%) among rural older adults. Results of this study urge for further social policies and intervention programs to enhance older adults\u2019 social capabilities, including social cohesion, sense of trust and safety, physical and mental functioning, and subjective well-being."}
+{"text": "Understanding the immune system is of paramount importance for the prevention and treatment of disease as well as the development of novel immunotherapies and immunodiagnostics in the framework of precision immunology and medicine. Recently, the advent of high-throughput biological methods has provided unprecedented insight into the molecular mechanisms underlying immune cell dynamics. The immense complexity of innate and adaptive immunity spanning several orders of spatial and temporal scales may, however, only be grasped by a systems computational immunology approach\u2014specifically, by developing powerful computational approaches, which process, model, and integrate these big immunological data.Original Research , 5 Methods , 5 Technology Reports , 4 Reviews , 1 Hypothesis and Theory (Cohen and Efroni), and 1 Perspective .This Research Topic was designed to give a comprehensive overview of current methods and applications of computational immunology for the dissection of mammalian immunity. Twenty-nine articles are included in this Research Topic, and are categorized into the following types: 13 Davidsen and Matsen;Schramm and Douek;Yermanos et al.), study the inference of immunoglobulin germline genes and polymorphisms , shed light on immunoglobulin light chain characteristics , compare immune repertoires in aging and disease , and improve and/or develop novel computational tools for clustering immune receptor sequences , immune repertoire benchmarking and error correction . Furthermore, storage and standardization of immune receptor data were advanced by the development of a webserver for immunoglobulin analysis pipelines , a new database of epitope-specific B-cell and T-cell receptors , and guidelines for immune receptor data format standardization . The antigen targets of immune receptor repertoires were investigated in works on B-cell epitope prediction and antigen presentation (Gfeller and Bassani-Sternberg).These papers address a broad range of conceptual challenges in computational immunology. The majority of papers focus on the development and application of computational tools for immune repertoire analysis. Specifically, they elucidate B-cell receptor phylogenetics and somatic hypermutation , plasma cell ontogeny , and regulatory T-cell proliferation . Immune cell signaling was investigated for cytokines , the immune synapse , and macrophage function .In addition to immune receptor biology, the dynamics of immune cells were explored for germinal center B cells (Cohen and Efroni).Finally, a conceptual paper summarized the similarities between the mammalian immune system and supervised machine learning (We would like to express our deepest gratitude and appreciation to all the authors who contributed papers, and to the reviewers and editors without whose invaluable work the publication of this Research Topic would not have been possible.All authors listed have made a substantial, direct and intellectual contribution to the work, and approved it for publication.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "This collection focuses on innovative approaches and analytical advancement in drugs of abuse testing and monitoring. Substance abuse negatively impacts all facets of society. Drug testing programs have been developed in many jurisdictions to service law enforcement agencies for drug intelligence, criminal justice systems for prosecution of drug-related crimes, and the health industry for harm minimization.Klingberg et al. investigated the mass fragmentation during the collision-induced dissociation process of a series of synthetic opioids including fentanyl derivatives, AH series opioids, U series opioids, W series opioids and MT-45, and identified a number of common fragments that can potentially be used as markers to indicate the presence of a particular synthetic opioid class of compounds within a sample.One significant challenge in drugs of abuse testing is the continuous emergence of new psychoactive substances (NPS) in the illicit drug market. Routine methods of analysis are no longer effective in screening NPS due to the lack of structural information and commercial reference materials which are needed for performing targeted analysis of these NPS. Scientists are developing non-targeted approaches to overcome this difficulty. In this regard, the use of high-resolution mass spectrometry (HRMS) operated in data dependent acquisition (DDA) mode or more often data independent acquisition (DIA) mode has drawn a wide interest among forensic toxicologists and chemists to advance the non-targeted approach for NPS detection based on interactions of the compounds with CBSteuer et al. reviewed the recent development of metabolomics approaches for drugs of abuse testing based on the monitoring of changes in small endogenous molecules in response to drugs of abuse consumption and to specimen manipulation. Based on the limited number of studies reported in the literature, the authors conclude that metabolomic approaches possess potential for detection of biomarkers indicating drug consumption. More studies, including more sensitive targeted analyses, multi-variant statistical models or deep-learning approaches are needed to fully explore the potential of omics science in drugs of abuse testing, especially in testing consumption of unknown NPS.Xu et al. studied the metabolism of AMB-FUBINACA, another indazole-3-carboxamide-type SCRA, using both human liver microsomes and zebra fish systems, and discovered a number of unique metabolites to be used as potential poisoning markers for drug monitoring purpose. Diao and Huestis reviewed the advantages and disadvantages of multiple metabolic approaches for investigating SCRA metabolism, including the human hepatocyte incubation model, human liver microsomes incubation, in silico prediction, rat in vivo, zebrafish, and fungus Cunninghamella elegans models and recommended the use of the human hepatocyte model when possible.Adding to the challenge of detecting the use of a large number of NPS available in the illicit drug market is the limited understanding of their biotransformation following consumption. Many NPS such as SCRAs undergo extensive metabolic transformation in the body and drug monitoring needs to target not only the parent drugs but also their metabolites. Studying the metabolism of these compounds is also important to better understand the toxicity of NPS as many NPS metabolites are also pharmacologically active and contribute to the overall toxicity of the parent drugs. Chen et al. reported the development and validation of a simple, rapid, and sensitive LC-MS/MS method for chiral analysis of selegiline and its metabolites desmethylselegiline, R/S-methamphetamine, and R/S-amphetamine in dried urine spots. Busard\u00f2 et al. developed a comprehensive LC-MS/MS method for quantifying fentanyl and 22 analogs and metabolites in whole blood, urine, and hair.Another important aspect of the collection covers the development of sensitive analytical test methods for the detection of drugs of abuse in a variety of biological matrices. In summary, this collection covers Research Topics representative of a number of important research focuses in the area of drugs of abuse testing. Speedy, sensitive and accurate detection of drugs of abuse, including NPS, is part of the crucial steps in the fight against substance misuse and its associated crimes and harms.All authors listed have made a substantial, direct and intellectual contribution to the work, and approved it for publication.SE was employed by company Elliott Forensic Consulting. The remaining authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Microorganisms are the prominent sources of valuable products ranging from large to small molecules . Most of these small molecules termed as \u201csecondary metabolites (SM)s\u201d are inessential to the producer for their growth and development. However, these SMs have significant applications in human and animal health Demain, . BesidesPham et al. have summarized the biological activities and applications of a variety of small molecular medicines and biologics. The manuscript has reviewed the diverse microbial systems used for the production of these biomolecules along with the versatile engineering strategies of such microbial platforms. Generally, each of the microbial strains can produce multiple compounds, but it can produce only subsets of these compounds under specific growth conditions. Therefore, variations in cultivation parameters can elicit the production and discovery of new SMs. For example, by changing cultivation parameters such as temperature, salinity, aeration, and even by altering the shape of the flasks, the production profile from a microbial platform can be altered approach. They have presented the role of variation in medium, cultivation conditions, use of epigenetic modifiers, and co-cultivation in the discovery of novel secondary metabolites from diverse microbial sources utilizing OSMAC approach .Escherichia coli is reported as the most common cell factory for the production of both small molecules and biologics. The clear understanding of its physiological and genetic characteristics, fast-growth even in minimal salts medium, and availability of easy genetic manipulation techniques has established it as first-choice production host . The metabolic engineering approach utilizing gene over-expression cassette for enhanced production of nucleotide diphosphate (NDP)-sugars was utilized for generating the salicylate glucoside and other glycosylated variants . Similarly, the gene-silencing approach was employed for enriching the titer of 3\u2032-phosphoadenosine-5\u2032-phosphosulfate (PAPS), which is donor substrate for sulfation of natural product (NP) precursors. Hence, by inhibiting the degradation of PAPS mediated by repression of PAPS reductase (cysH) and optimization of different sulfate donors significantly enhanced the production titer of naringenin-7-sulfate . Ribosomally synthesized and post-translationally modified peptides (RiPPs) are special class of NPs with diverse structures and bioactivities, and thus possess a complex biosynthetic mechanism. Different aspects for heterologous expression of RiPPs in E. coli have been reviewed by Zhang et al.E. coli, some of the non-lethal Gram-positive bacteria including the native producer strains such as actinobacteria or heterologous hosts [generally recognized as safe (GRAS)] such as Bacillus and Corynebacterium are used as excellent cell factories in industries. Actinobacteria are characterized as the most prominent producers of thousands of bioactive molecules, particularly small molecular medicines such as commercially available antibiotics and anticancer-drugs by modulation by a number of global positive and negative regulatory genes, and genes encoding drug efflux pumps. Further the optimized strain was used for production of NPs of diverse nature such as actinorhodin, murayaquinone, hybrubins, piericidin A1, dehydrorabelomycin, and actinomycin D. Generally, the production of SMs in Streptomyces is controlled by a complex regulatory network that involves pathway-specific, pleiotropic, and global regulators, which tune the expression level of biosynthetic genes in response to a variation in diverse physiological and environmental conditions and its associated protein (Cas9) has enabled the multiplexed genome engineering of actinomycetes including Streptomyces. Tao et al. have reviewed the application of CRISPR/Cas9 based genome editing in Streptomyces for discovery, characterization, and production of NPs. The recent advances in heterologous expression of RiPPs in Streptomyces have been presented by Zhang et al.Due to the presence of endotoxins in products obtained from Gram negative bacteria as Bacillus species has an ability to adapt to varying environmental conditions and capacity for high production yield , hence they are crucial industrial microorganisms. Further, the application of recent advances in metabolic engineering, enzyme/pathway engineering along with the synthetic biological tools have contributed to ameliorate the production titer from these microorganisms. Yang et al. utilized enzyme engineering of homogentisate dioxygenase for production of enhanced production of melanin. Similarly, a metabolic engineering approach was utilized for enhanced heterologous production of 2-deoxy-scyllo-inosose in Bacillus subtilis. Unlike E.coli and Bacillus, Corynebacterium has significant ability to utilize a variety of carbon sources has great prospects for simulating the connection between the genomics and metabolomics to generate the intelligence in these super hosts, so that they can sense the environment condition, and respond rationally.Taken together, all these papers illustrate the applicability of engineering of microbial platforms for the production of small molecular medicines to complex biologics. However, in case of all of these microbial cell factories the industrial scale titer, yield, and productivity is generally difficult to achieve. The major constraint is unavailability of abundant information about their metabolic behavior, unavailability of appropriate genetic engineering tools, or complication in redesigning appropriate flux balance for diverting primary metabolites to target molecules (Bhan et al., DD wrote the manuscript. E-SK and MK revised and corrected the manuscript. The final draft of the manuscript was finalized and approved for publication by all the authors.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "In 2013, the outbreak of wild poliovirus (WPV) in the Horn of Africa (HOA) triggered an aggressive, coordinated national and regional response to interrupt continued transmission. Kenya, Somalia, Ethiopia, South Sudan, and other HOA countries share a range of complex factors that enabled the outbreak: porous and sparsely populated borders, insecurity due to armed conflicts, and weak health systems with persistently under-resourced health facilities resulting in low-quality care and low levels of immunization coverage in mobile populations. Consequently, the continued risk of WPV importation demanded cross-border and intersectoral collaboration. Assessing and addressing persistent communication gaps at the subnational levels were necessary to gain traction for improved immunization coverage and surveillance activities. This article describes a systematic approach to institutionalizing processes of dialogue and facilitation that can provide for a sustainable and effective joint cross-border health platform between Kenya and Somalia. It examines an operational model called the Cross-Border Health Initiative (CBHI) to support joint intercountry collaboration and coordination efforts. To evaluate progress of the CBHI, the authors used data from population coverage surveys for routine immunization and supplemental immunization activities (for polio), from acute flaccid paralysis (AFP) surveillance, and from plans developed by border districts and border health facilities. The project-trained community health volunteers have been a critical link between the hard-to-reach communities and the health facilities as well as an excellent resource to support understaffed health facilities. The authors conclude that the CBHI has been effective in bolstering immunization coverage, disease surveillance, and rapid outbreak response in border areas. The CBHI has the potential to address other public health threats that transcend borders. In 2010, the first WPV importation into the European region since the region was declared polio-free in 2002 resulted in 476 confirmed cases: 458 in Tajikistan, 14 in Russia, three in Turkmenistan, and one in Kazakhstan. In Africa and Asia, 11 new importations into six countries were observed in 2010; 30 WPV importations during 2008\u20132009 resulted in 215 WPV cases in 15 African countries during 2009\u20132013. Across six African and Asian countries, 11 new importations were recorded in 2009\u20132010.3For more than three decades, humankind has pursued the possibility of a \u201cpolio-free world.\u201d4 In Somalia, the first importation occurred during 2005\u20132007, resulting in more than 200 cases of paralytic polio.5 Likewise, in Kenya, two cases in Garissa County were reported in 2006, 19 cases in Turkana County in 2009, and one case in Rongo district in 2011. Somalia experienced a polio-free period from 2007 to 2013.5 This period of calm was upset when an outbreak of WPV type 1 (WPV1) rattled the Horn of Africa (HOA).6 In May 2013, the Somalia Ministry of Health (MOH) and the WHO reported a confirmed WPV1 case in a child from Mogadishu (Banadir region). Subsequently, in May 2013, eight additional WPV1 cases were confirmed in Somalia: seven in the Banadir region and one in the Bay region.7 Just 3 weeks after the initial polio cases were detected in May 2013 in Somalia, Kenya reported its first case across the border in the Dadaab refugee camp. As a result, five people were paralyzed by polio, including young adults, in the northeastern part of Kenya.8 Polio quickly spread from Somalia to its neighboring countries of Ethiopia and Kenya. By April 2013, the case count stood at 223: 199 cases in Somalia, 14 in Kenya, and 10 in Ethiopia. All the Somalia polio cases belonged to cluster N5A,Kenya and Somalia have not been spared from the impact of WPV importation.9 At the same time, the Global Polio Eradication Initiative entered a new phase, with a significant reduction in cases in endemic countries and a heightened recognition of the risk for the international spread of the virus.10 To combat the threat of an international outbreak, the WHO declared polio a public health emergency of international concern in May 2014 and issued recommendations requiring proof of polio vaccination for travel to and from countries experiencing polio cases.10 Frequent cross-border movement of the high-risk mobile populations between Kenya and Somalia and the low level of population immunity in the region continue to be major contributing factors to the spread of poliovirus and the risk of ongoing transmission.11The 2013 HOA outbreak vividly confirmed that \u201cAll countries will continue to have some level of risk for WPV outbreaks as long as endemic circulation continues in Afghanistan, Nigeria, and Pakistan.\u201d12In 2014, Kenya\u2019s MOH requested the United States Agency for International Development (USAID)-funded CORE Group Polio Project (CGPP) Kenya and Somalia HOA Secretariat based in Nairobi, Kenya, to initiate polio eradication activities in five counties along the Kenya\u2013Somalia border deemed at high risk for poliovirus importation. It was clear that effective immunization activities across borders and migration pathways were essential to improve immunization rates. Under the leadership of the respective MOHs of Kenya and Somalia and in collaboration with the WHO, the CGPP began holding cross-border meetings in October 2014\u2014a significant and instrumental move that would shape a systematic, unified, and well-coordinated response in the form of the Cross-Border Health Initiative (CBHI).Objectives arising from the 2015 cross-border meetings targeted improving collaboration between the health and administrative authorities of border regions through enhancing acute flaccid paralysis (AFP) surveillance sensitivity, increasing coverage of supplemental immunization activities (SIAs), and improving coverage and access to quality routine immunization services in the HOA border regions. Before the formation of the CBHI, cross-border committee meetings were first initiated by the WHO in collaboration with the Intergovernmental Authority on Development (IGAD) under the \u201cHealth for Peace Initiative\u201d in 1996. However, these cross-border committees were formed in only a few selected sites and the meetings were ad hoc, resulting in limited capacity for implementation, monitoring, accountability, resource allocation, and sustainability of cross-border polio eradication activities. To address these gaps yet keeping and reaffirming the same set of valuable original objectives, the CGPP Kenya and Somalia HOA Secretariat over a 1-year period transformed the ad hoc cross-border meetings into a full CBHI in October 2015. The secretariat subsequently established more CBHI committees in Kenya and Somalia. The work of the committees funded by the CGPP set the course for the eventual full implementation of the CBHI.13 Cross-border coordination bridges the disease surveillance gaps by forming partnerships among institutions, agencies, and communities in cross-border areas. Specifically, the CBHI works to ensure the vaccination of all cross-border populations, to support the detection of cases of AFP, to conduct joint case investigations of transborder AFP and WPV cases, and to synchronize all polio SIAs.The overarching goal of the CBHI is to reach every child with polio vaccine.In October 2015, the CGPP established a total of seven CBHI committees in five polio high-risk countiesIn Kenya, the government-led committees consisted of representatives from the five counties and subcounties. At the county level, the representatives included the director for health, the disease surveillance coordinator, the Expanded Program on Immunization (EPI) coordinator, the health records and information officer, and the community health strategy focal person. At the subcounty level, representation included subcounty coordinators and disease surveillance or EPI officers. In addition, the CGPP implementing partner officers, WHO and United Nations Children\u2019s Fund (UNICEF) county coordinators, and officers from border administration, immigration, and security completed the committee membership.In Somalia, the committees consisted of regional and district medical officers and a regional EPI coordinator. Similar to the Kenya committees, representation included the CGPP implementing partner officers, WHO regional and district coordinators, UNICEF field staff, and officers from border administration, immigration, and security.To reach high-risk mobile populations, the CGPP, in collaboration with the local authorities and CBHI, identified and profiled both formal and informal crossing points and communities at borders, transit hubs, and migratory routes. This exercise was beneficial; after developing detailed micro-planning to identify and document all border towns, villages, and settlements and their inhabitants, it was possible to estimate the number of children in the catchment areas. Moreover, the major transit points in the area provided pertinent information about population movement patterns, whereas joint mapping of border crossing points and border communities served to improve micro-planning for country-specific and joint country cross-border activities. The CGPP\u2019s non-governmental organization (NGO) implementing partners and local health authorities mapped 11 border health facilities, 161 formal/informal border crossing points, and 372 villages along the border as shown in To guide the CBHI committee members, the CGPP Secretariat in coordination with the MOH wrote a terms-of-reference document to structure regular meetings and outline roles for reporting and for the implementation of action plans. This document defined how to develop the agenda, meeting reports with outcomes, and implementation of activities arising from the meeting. Cross-Border Health Initiative committees followed activity work plan templates to ensure monitoring and accountability through joint supportive health facility visits. The project trained and provided the committees with selection criteria for recruiting community health volunteers (CHVs), whose primary focus was to ensure efficient and sustainable community-based surveillance, and with secondary responsibilities of supporting the committee and health facilities to conduct community mobilization for routine immunization and polio campaigns. In turn, the committees provided training materials for border health facility staff and border CHVs, including reporting forms based on the Integrated Disease Surveillance Response Framework to identify key diseases.The government-led high-level, intercountry cross-border forums and CBHI committee meetings funded by the CGPP and other partners have served as critical communication and community engagement platforms to raise issues of the risk of polio importation in the HOA. The respective local health authorities have owned the CBHI and provided the leadership in its implementation. As a result, the CBHI has led to improved immunization coverage and increased AFP detection among high-risk mobile populations, limiting the importation of WPV across borders.14 who serve as a link between the hard-to-reach nomadic communities and the health facilities. The committees, with funds from the CGPP, trained the CHVs to conduct social mobilization, perform community-based surveillance on vaccine-preventable diseases, report suspected AFP cases from the community, promote routine immunizations, and track immunization defaulters. Community health volunteers reported all suspected AFP cases from conflict-prone and insecure areas inaccessible to trained health workers. A key success of the committee\u2019s work has been the recruitment of CHVsThe risk of persistent threat of WPV importation demands cross-border collaboration and coordinated interventions. In response, the CGPP, in collaboration with the respective country\u2019s MOH and WHO, supported more than 70 local and international cross-border meetings in the HOA to highlight this risk see . These mThe CBHI has expanded access to polio vaccination for high-risk mobile populations in under-resourced areas. The strategic and systematic collaboration of the cross-border health committees has improved access to vaccination for children on the move at formal and informal border crossing points, enhanced tracking of nomadic pastoralist communities, and improved reporting of suspected AFP cases. 15Major obstacles to polio eradication efforts in the HOA and specifically at the security-compromised border areas have been inadequate health infrastructure, limited funding, poor health workforce management, and low-quality skills of health workers. There are inadequate government services in the border areas as the presence of government and NGO workers is restricted because of security risks, especially kidnappings. Polio funding has been critical to supporting the expansion of other health services.The government EPI and surveillance officers carry out their activities through direct, personal contact on a regular basis to guide, support, and assist designated health-care facility staff to become more competent in their immunization and disease surveillance services. In coordination with the National Vaccine and Immunization Program and the Disease Surveillance and Response Unit of the respective government, the CGPP mentored the immunization and surveillance managers on a monthly and quarterly basis to conduct on-the-job training of the service providers, which had a positive impact on the immunization program indicators and on the provision of all services in general. In the border areas of the HOA, the CGPP has provided technical and logistic support for district/subcounty training on the Reach Every District strategy, local micro-planning, data quality self-audits, and supportive supervision of routine immunization at health facilities and outreach sites.Cross-border coordination and scaled-up efforts of community-based surveillance activities to combat polio have contributed to positive AFP surveillance indicator trends; improvements are particularly significant in the hard-to-reach border areas . The geoThe second row of maps shown in Multiple challenges have compromised the AFP surveillance efforts. A strike by health workers in Kenya in 2017 affected service delivery, particularly in the border counties of Turkana and Marsabit. The protracted conflict in South Sudan created an influx of refugees across the border in Kenya, further complicating surveillance efforts. The maintenance of biological specimens is referred to as the reverse cold chain. Maintenance of the reverse cold chain remains a significant barrier. Although stool sample collection rates are high, transportation of quality samples is still a problem due to poor infrastructure and impassable roads. Other operational challenges faced by the project were the high cost of programming due to the difficult terrain (poor roads and insecurity) and the occasional border closures hampering the cross-border work. However, some of these challenges were overcome by working closely with community leaders, building the capacity of the community through the CHVs to conduct the cross-border work, integrating the polio interventions with other cross-border activities undertaken by NGOs, and leveraging their presence and expertise. These partnerships created synergy and reduced the cost of programming. The CGPP closely coordinated with the IGAD, the regional intergovernmental body, and the respective immigration departments to address challenges with border access.17 The CGPP in the HOA has focused on improving access to vaccination services in high-risk mobile populations that straddle common borders. The CBHI in Kenya and Somalia has contributed to improved population immunity among cross-border communities, and it has created and maintained an active AFP surveillance system in these vulnerable regions that includes a community-based surveillance component. The CBHI has supported the collaboration of countries and border districts to develop early warning and response systems as well as the harmonization of cross-border vaccination and surveillance activities.3The CGPP has demonstrated the value of an institutionalized approach that is collaborative and coordinated. This important strategy is adaptable to address other communicable diseases that transcend borders.The communities that straddle the border of Kenya and Somalia are homogenous, sharing a common language and culture that allow for easier collaboration for teams on both sides of the border.The contribution of communities through participation in the cross-border health committees and the community-based surveillance by CHVs has magnified the CGPP\u2019s credibility and ownership among border communities.The cross-border forums have heightened sensitization and advocacy for cross-border issues, leading to high-level political commitment and support from the respective government health authorities and renewed interest and support from the United Nations partners.Frequent cross-border committee meetings have improved opportunities for communication, stronger partnerships, joint regional advocacy, effective management of challenges, and the facilitation and implementation of collective outbreak response activities.Cross-border meetings have proven to be crucial at the local level, providing a forum to exchange information and carry out synchronized action for health service activities, including disease-control and eradication activities.The CBHI has become vital for closely monitoring vaccination status to reduce the risk of WPV importation by those crossing the border. Effective communication among the cross-border committees and border authorities, coordinated immunization activities, and sharing of AFP surveillance data have led to an improved, in-depth understanding of the dynamics of cross-border threats of WPV importations.18The diverse committee representation of the stakeholders has ensured wide sharing of information across the borders.Implementation of the CBHI in Kenya and Somalia has strengthened information flow through monitoring and evaluation of joint action plans.19The border health facilities have conducted mapping and profiling of cross-border populations for routine immunization and SIA micro-planning in hard-to-reach border villages and in high-risk populations that include those residing in \u201cno-man\u2019s land\u201d villages, immigrants and pastoralists, and nomadic populations.online supplement). The guide promotes internal and cross-border partnerships between border health operational units to identify and address the health issues of border populations, identify and document transit routes and hubs, and monitor population movements between borders which can affect cross-border transmission of communicable diseases, including polio.20The capacity built through these committees, although specific to polio eradication, can serve other health initiatives, including the identification of emerging infectious disease threats with epidemic or even pandemic potential and other diseases that continue to challenge fragile health systems. This knowledge has been captured in the CBHI Operational Guide management. In Mandera County, the health committee worked together on a cholera outbreak in 2016. In addition, the Kenyan counties that border Somalia have merged their county development integrated plans with cross-border county action plans and widened the role of their CBHI committees to address other diseases. The CBHI is now an integral part of the operational health plans of border health units and the annual work plans of the participating county departments of health, thus ensuring sustainability of the CBHI after the end of the project. A manual that is used to guide the work of the CBHI is available as an online supplement to this article.As a testament to the power of collaboration, the CBHI\u2019s domain has expanded to integrate the control of other infectious diseases.The CBHI has improved access to health services, particularly for the immunization of nomadic pastoralists. In partnership with other government departments and NGOs that provide nomadic communities with livestock, education, drought management, and internal security, the CBHI has successfully tracked the movement of the nomadic populations to vaccinate missed children\u2014something that was unheard of before the CBHI. Even with the CBHI in the HOA, the long border between Kenya and Somalia remains porous and dangerous. The limited health infrastructure on the border there poses a significant challenge to effective cross-border collaboration. The CGPP will continue to build on the lessons of the CBHI to combat importation of WPV across the borders and will continue its search for new and innovative solutions.19 the CBHI is an important step for \u201cplanning for the end of all polio.\u201d21 The CBHI demonstrates the coherent impact of CBHI committees to engage across borders and across sectors (such as veterinary services and surveillance for zoonotic diseases) to capitalize on already existing synergies. The work of the committees as part of the CBHI could be adapted for other health interventions that require strong partnerships to achieve similar goals.In an acknowledgment that \u201cPolio will not end everywhere until everywhere ends it,\u201d22 The CBHI has been critical in reaching underserved, high-risk mobile populations with oral polio immunizations and other health services. Building on the success of the CBHI in Kenya and Somalia, this article highlights the value of the systemic process of institutionalizing the intervention so that it will continue beyond the eradication of polio. Integration of the CBHI committees into the country-driven County Integrated Development Plans has given particular attention to the often marginalized, security-compromised, and neglected border areas, raising coverage and potentially reducing inequities in immunization services. This integration has enhanced accountability and commitment through resource allocation and sustainability of the CBHI, leading to a gradual improvement in AFP surveillance and in routine immunization uptake in border areas. The CBHI has provided an in-depth understanding of the threat of disease importation, and it has built a cross-border framework for tackling cross-border challenges.Poliovirus circulation is most persistent in high-risk areas deprived of essential health services.23 hence the need for political commitment under the premise of the cross-border governance framework of the IGAD that could institutionalize the CBHI and standardize regional surveillance reporting tools.20 Effective, robust cross-border coordination of polio eradication activities requires a high level of political commitment, solid coordination, and mobilization of cross-border communities and their leaders.24 The potential of strong cross-border collaboration for health that the CGPP\u2019s CBHI has initiated holds great promise not only for contributing to the final eradication of polio but also for addressing other public health priorities.It is essential, however, to acknowledge the everyday challenges faced by HOA countries. The frequent movement of mobile populations in geographic areas that are unsafe for immunization workers makes the achievement of high levels of immunization coverage difficult and increases the threat of re-importation of the WPV and other communicable diseases,Supplemental materials"}
+{"text": "Osteotomies are the established surgical procedure for the deformity of the lower limb induced by osteoarthritis (OA) of the knee and ankle. Closed-wedge (CW) and open-wedge (OW) high tibial osteotomy (HTO) are extra-articular surgery, which aim to shift the mechanical axis from medial to slightly lateral and reduce the overload in the medial compartment of the varus deformed knee by extra-articular correction. However, varus deformity of the knee with the teeter effect, which could be accompanied with subluxation and thrust due to the medial-lateral soft tissue imbalance, is not resolved only by the shift of mechanical axis. The depression of the medial tibia plateau, so-called pagoda deformity, is the intra-articular deformity, which could potentially cause the teeter effect and involves intra-articular incongruency. In such case, the osteotomy with novel concept should be developed to overcome the issues, both the imbalance of soft tissue and intra-articular deformity. Tibial condylar valgus osteotomy (TCVO) is an intra-articular osteotomy, which improves the joint congruency of the medial-compartment knee OA with subluxation and/or intra-articular deformity and also provides better joint stability. A similar argument is raised in the treatment of the ankle OA. Low tibial osteotomy (LTO) is an extra-articular surgery to correct malalignment of lower leg. Distal tibial oblique osteotomy (DTOO) is a novel surgery to improve the bony congruency of the ankle OA. In DTOO, the distal tibia is cut obliquely from the proximal medial to the distal lateral in the coronal plane and towards the center of the tibiofibular joint to improve the bony congruency of the ankle joint. Tibial condylar valgus osteotomy (TCVO) and distal tibial oblique osteotomy (DTOO) can correct intra-articular deformity of knee and ankle, respectively. The rationale and indication of TCVO and DTOO for the treatment of the lower limb by reconstructing the joint congruency are discussed. Deformity of the lower limb induced by osteoarthritis of the knee or ankle causes the adverse effect on daily living due to gait disturbance, which could cause abnormal posture, as well as local problem such as pain. Various surgical procedures have been performed such as femoral, tibial osteotomies, and hip and knee arthroplasties to overcome these issues. Osteotomies are the established surgical options for the treatment of lower limb.Osteoarthritis of the knee is a representative disease, which involves malalignment of the lower limb with the joint degeneration. Arthroplasty of the knee, involving total knee arthroplasty (TKA), unicompartmental knee arthroplasty (UKA), is established as surgical procedures with good clinical results \u20133. ArounThe concept of traditional HTO has been the extra-articular correction of the alignment, aiming at the reduction of the overload in the medial compartment of the varus deformed knee by shifting the mechanical axis from medial to slightly lateral. On the other hand, deformities of the lower limb are affected by several factors. The bony deformity and soft tissue balance are the different issues relating to the malalignment. Varus deformity in OA of the knee without excessed medial loosening of soft tissue could be corrected by usual HTO, which is the extra-articular correction with transfer of the mechanical axis. However, the varus deformity of the knee with the teeter effect, which is the medial-lateral soft tissue imbalance, is not resolved only by the shift of mechanical axis to lateral. The depression of the medial tibia plateau, so-called pagoda deformity, is the intra-articular deformity, which could cause intra-articular incongruency and the teeter effect. In such case, the osteotomy with novel concept should be developed to overcome the issues, both the imbalance of soft tissue and intra-articular deformity; otherwise the relief of the pain and disability would not be achieved.For the treatment of osteoarthritis of ankle joint, the same argument exists as the correction of the varus knee. Low tibial osteotomy (LTO) for osteoarthritis of ankle joint has been performed to change the load distribution on the ankle joint by changing the extra-articular alignment , 10. HowConsidering the correction of lower limb alignment, regardless of cause of mal-alignment, such as post-traumatic, degenerative, or congenital, we need to consider two kinds of deformities: extra-articular and intra-articular deformity. Extra-articular deformity can be discussed under static loading condition, and intra-articular deformity should be discussed under dynamic loading condition.Extra-articular deformity in frontal plane is evaluated by the measurement of the standing long-leg AP view. Theoretically, there are 728 kinds of extra-articular deformity, and these deformities can be accurately corrected by using hexapod system. Evaluation of intra-articular deformity should be evaluated by dynamic motion of the contours of the bone facing in the joint. Tibial condylar valgus osteotomy (TCVO) and distal tibial oblique osteotomy (DTOO) can correct intra-articular deformity of knee and ankle, respectively.Traditionally the degree of extra-articular deformity of the frontal plane has been expressed as the degree of deviation from the mechanical axis of the lower extremity Figure . The mecThe frontal plane knee joint orientation line of the distal femur is drawn as a line tangential to the most distal point on the convexity of the two femoral condyles. The frontal plane knee joint line of the proximal tibia is drawn across the subchondral line of the two tibial plateaus. The angle formed between joint orientation lines on opposite sides of the same joint is called the joint line convergence angle (JLCA) . The ankThe deviation from the normal of the lower extremity alignment can be evaluated by the joint orientation angles, such as MPTA, LDFA, LPDA, etc. measured with the full leg standing frontal X-ray image of the lower limb Figure . MalaligAngular deformity has four types: varus/valgus deformity at the frontal plane and procurvatum/recurvatum deformity at the sagittal plane. Similarly, there are four kinds of deformities in translation and axial deformities. Consequently, there are 728 patterns of extra-articular deformities.The angular deformity correction of lower limb can be achieved using hinges set on center of rotation of angulation (CORA) of the connecting rods by Ilizarov technique . CurrentIntra-articular deformity means joint congruency. Joint congruency is defined as the fittings of two opposing joint surfaces as they relate to one another considering the spatial contour of each bone at their interface.In theory, joint congruency can be mainly explained by three factors: contours of bone, functions of ligament, and integrity of articular cartilage and meniscus. Incongruency of the joint immediately causes joint instability or abnormal joint kinematics resulting in the secondary osteoarthritis in the future. For example, mal-union of tibial plateau fracture and/or knee ligament injury such as anterior cruciate ligament and/or collateral ligaments causes easily knee instability and secondary osteoarthritis of the involved knee with joint incongruency .Two primary biomechanical purposes of the articular cartilage are lubrication and shock absorption. The articular cartilage provides a smooth lubricated surface for low friction articulation and acts as a remarkably efficient shock absorber , 20.From the view point of joint congruency, it is considered that the effect of articular cartilage as the shock absorber is not large because the thickness of articular cartilage is thin as 1 \u2013 4\u2009mm. Rather in the cartilaginous element, the menisci may be more important because they have a large effect of filling the gap of the joint . HoweverHigh tibial osteotomy (HTO) is intended to transfer the mechanical axis from medial to slightly lateral to the midline of the knee to decrease the load and subsequently delay osteoarthritis (OA) \u201324. TherOn the other hand, tibial condylar valgus osteotomy (TCVO) developed by Chiba G et al. in 1989 and published in 1994 is an operation that corrects intra-articular deformity , 33 Fig and 7. TThe same argument holds for distal tibial oblique osteotomy (DTOO) and low tibial osteotomy (LTO) for osteoarthritis of ankle joint. LTO is an operation of an attempt to change the load distribution on the ankle joint by changing the extra-articular alignment. However, if instability of the talo-tibial joint exists , improveOn the other hand, DTOO developed by Teramoto in 1994 is an operation to improve the bony congruency of the ankle joint . DTOO coAlthough osteotomies are effective in managing malalignment of knee and ankle arthrosis, determination regarding the type of osteotomy should be based on the pathology in each patient. The cause of deformity of the knee varies, which involves intra- and extra-articular or the combination of them. Center of the deformity may also vary. Soft tissue balance should be another critical issue for the selection of optimal osteotomy type. Traditional HTO should be an optimal strategy to overcome the malalignment in OA of the knee; however, the excessed medial-lateral soft tissue imbalance and intra-articular deformity are not solved by this surgical procedure. Tibial condylar valgus osteotomy (TCVO) should be an optimal option to overcome these issues that improves intra-articular deformity followed by acquisition of medial-lateral stability of the knee, not lower limb alignment. Although LTO is the good treatment for the deformity in OA of ankle by the extra-articular correction of alignment, treatment for incongruency and instability for OA in ankle is the remaining issue of this surgical technique. Distal tibial oblique osteotomy improves the bony congruency of the ankle joint by the oblique osteotomy.Tibial condylar valgus osteotomy and DTOO that correct intra-articular deformity of knee and ankle are the optimal osteotomies for OA with intra-articular deformity and instability."}
+{"text": "Evidence-based programs (EBPs) offer proven ways to promote health and prevent disease among older adults in their communities. EBPs are based on rigorous study of the effects of specific interventions or model programs, demonstrate consistently positive changes in important health-related and functional measures, and have tools in place to maintain program access, quality, and efficiency across diverse settings. The University of North Carolina at Chapel Hill\u2019s Center for Health Promotion and Disease Prevention (UNC HPDP), in partnership with the Evidence-Based Leadership Collaborative (EBLC), has established a review process and Review Council to identify new community programs that meet the evidence-based program criteria established by the Administration for Community Living (ACL), one of the chief U.S. federal agencies responsible for aging programs. Approved programs are then eligible for Older Americans Act Title III-D and other discretionary funding to support organizations that deliver EBPs to improve older adult health. The review process assesses the effectiveness, outcomes, and evaluation of the program, information about program implementation, training, and other key elements for successful program dissemination. The Review Council consists of national leaders with expertise in program research, evaluation, and implementation. The review process is supported by the ACL-funded National Chronic Disease Self-Management Education and Falls Prevention Resource Centers. This session will describe the ACL evidence-based health promotion program criteria that must be met for approval; an overview of the review process; and how researchers can submit their programs for review. Time will be allowed for questions, discussion, and research to practice implications."}
+{"text": "Participation in active transportation by older persons has been associated with higher quality of life and longevity. Efforts across the United States to increase active transportation by older adults have lacked meaningful input by older adults, are non-theoretical and have had inconclusive results. This paper describes the findings from Phase 1 of the Safe Routes to Age in Place project, a collaboration between Age-Friendly Franklin County, The Ohio State University (OSU) and the University of Texas-Arlington (UT-A), funded by the Ohio Department of Transportation. The aim of the study is to increase the options and safe utilization of active transportation by older persons in three pilot neighborhoods in Franklin County, Ohio utilizing community-based participatory action research strategies with a customized data collection app, MyAmble. The purpose of Phase 1 was to engage city and regional planning students, government officials and older adults to identify \u201chot spots\u201d in the three pilot neighborhoods. Heat mapping of community data including locations of densely-populated vulnerable older adults, fixed transportation routes, bus stop signage and benches, shared bike stations, bike routes, paratransit routes and pedestrian crash data was completed. Maps were used to identify areas of focus and discussions with municipal leaders and older adult residents further refined target areas to be used in the second phase of the study. Older residents completed walk audits using the MyAmble app and identified issues with sidewalks, crosswalk timers and bus stops. Implications related to age-friendly communities and active transportation are offered."}
+{"text": "Non Western therapies have played a vital role in dealing with a variety of crisis such as physical, emotional and existential over the last few centuries . Since the introduction of Western medicine in India as early as the eighteenth century, the two systems of medicine have coexisted and influenced each other. Mutual recognition of the therapeutic values of the two systems was further bolstered when American medicine recognized the role of alternative therapies as viable option for healing in the early eighties. The purpose of this paper is to examine the roles two kinds of healers (western and non- western) play in the Asian Indian Hindu context. For this qualitative study, 30 physicians (trained in Western medicine) and 5 sadhus (holy men) were interviewed in the city of Allahabad, during the Kumbh Mela. Open ended questions ranged from: a) field of practice (physicians), sadhus (mystics), b) years of practice, c) number of patients/followers, d) treatment offered (physician \u2013surgery or medications), sadhus , e) adverse reactions. In-depth interviews were recorded and transcribed by two researchers from Hindi to English and coded into themes. Results indicate that about a quarter of Western trained physicians not only sought assistance from the sadhus for their emotional/spiritual issues, but also referred patients with terminal disease. Besides individual consults, the mystics conduct lectures on climate change, on holistic diet, meditation, yoga practices, and healing. Social workers need to assess the value Hindu immigrant families in United States attach to Non-Western therapies."}
+{"text": "Healthcare providers (HCPs) are recognized as one of the cornerstones and drivers of health interventions. Roles such as documentation of patient care, data management, analysing, interpreting and appropriate use of data are key to ending vaccine-preventable diseases (VPDs). However, there is a great deal of uncertainty and concerns about HCPs\u2019 skills and competencies regarding immunization data handling and the importance of data use for improving service delivery in low- and middle-income countries (LMICs). Questions about the suitability and relevance of the contents of training curriculum, appropriateness of platforms through which training is delivered and the impact of such training on immunization data handling competencies and service delivery remain a source of concern. This review identified and assessed published studies that report on pre- and in-service training with a focus on HCPs\u2019 competencies and skills to manage immunization data in LMICs.An electronic search of six online databases was performed, in addition to websites of the WHO, Global Alliance for Vaccines and Immunization (GAVI), Oxfam International, Save the Children, Community Health Workers Central , UNAIDS and UNICEF. Using appropriate keywords, MeSH terms and selection procedure, 12 articles published between January 1980 and May 2019 on pre- and in-service training of HCPs, interventions geared towards standardized data collection procedures, data documentation and management of immunization data in LMICs, including curriculum reviews, were considered for analysis.Of the 2705 identified references, only 12 studies met the inclusion criteria. The review provides evidence that shows that combined and multifaceted training interventions could help improve HCPs\u2019 knowledge, skills and competency on immunization data management. It further suggests that offering the right training to HCPs and sustaining standard immunization data management is hampered in LMICs by limited or/lack of training resources.Pre-service training is fundamental in the skills\u2019 acquisition of HCPs; however, they require additional in-service training and supportive supervision to function effectively in managing immunization data tasks. Continuous capacity development in immunization data-management competencies such as data collection, analysis, interpretation, synthesis and data use should be strengthened at all levels of the health system. Furthermore, there is a need for periodic review of the immunization-training curriculum in health training institutions, capacity development and retraining tutors on the current trends in immunization data management. Human resources for health, also known as the health workforce, is one of the building blocks proposed by the World Health Organization (WHO) Health Systems Framework and is central to achieving universal health coverage (UHC) and enhancing the achievement of the Sustainable Development Goals (SDGs) , 2. HoweHigh-quality vaccine coverage and vaccine-preventable disease (VPD) surveillance data are needed to monitor the performance and impact of the Expanded Programme on Immunization (EPI), which aims to reduce infant and child mortality and morbidity. However, inconsistent and inaccurate recording and reporting of these data limit the ability to accurately monitor EPI coverage and remain a source of concern particularly in LMICs. Due to poor and sub-standard measurement and errors in vaccination records, reliability and validity of reported data on immunization coverage are highly questionable. Additionally, incomplete and incorrect data entry and poor documentation of coverage, as well as double entries by HCPs, have decreased the reporting quality \u20137. CapacAttempts to bridge the gaps associated with poor data quality, which are often attributed to insufficient technology rather than the people who drive the system, have led to the implementation of complex health information systems (HIS), including web-based solutions. Nevertheless, these still require human capacity and capability. Persistent challenges identified with these systems include inadequate human resources, insufficient capacity of HIS staff at all levels of the health system, high staff-attrition rates, inadequate training, unstandardized job descriptions, limited HIS development planning and lack of established HIS career path and accredited training programmes .Competency can be defined as a combination of knowledge, skills and abilities needed to perform a specific task in a given context , which cThere is a great deal of uncertainty and concerns about HCPs\u2019 skills and competencies regarding immunization data handling and the importance of data use for improving service delivery. It is unclear whether HCPs\u2019 training curriculum and modalities are appropriate and optimal for improved skills and competencies in data collection procedures and management . QuestioThis scoping review seeks to identify and assess published studies that report on pre- and in-service training with a focus on healthcare providers\u2019 competencies and skills to manage immunization data in LMICs. For the purpose of this study, we assessed available interventions (on improving immunization data documentation and reporting), pre- and in-service training and compared reports on which modality best informs good-quality immunization data collection and management in LMICs.We conducted an exploratory research and systematically mapped available literature on specific topics relating to HCPs\u2019 competencies in immunization data management. Key concepts of pre- and in-service training were identified, and sources of evidence and gaps in the research were also highlighted . This apAll categories of health personnel qualified as healthcare providers (HCPs) involved with immunization data management, such as doctors, pharmacists, nurses, midwives as well as community HCPs were included.In addition, studies on interventions that include any training or capacity-building activities related to standardized data collection procedures and management of immunization data, including curriculum reviews, were considered. As the purpose of this study was to assess and compare pre- and in-service training of HCPs on standardized data collection procedures in immunization services, we assessed interventions that were measured and evaluated. Hence, the study design and outcomes of included studies were left intentionally broad, and a meta-analysis was not appropriate at this stage.Published articles on pre- and in-service trainings of HCPs, healthcare professional curriculum, on-going training and interventions geared towards standardized data collection, correctness, consistency, data reporting and recording and management of immunization data were included. We also included all studies assessing the effect of pre- and in-service training of HCPs in data management improvement, including data collection, entry, completeness, accuracy and timeliness, as well as training on standardized data collection and maintenance in immunization services, interventions on capacity building, improving skills and competencies in data collection and management in immunization services. All studies evaluating educational curriculum, pre- and in-service trainings of HCPs; capacity development on immunization data competencies in data recording and reporting, data analysis, interpretation, synthesis and presentation of immunization data; and interventions and on-going capacity development on standardized data collection and management in immunization services in LMICs were included.In addition, studies on HCPs\u2019 responsive training programmes on immunization data and district-level data improvement programmes conducted in LMICs according to the World Bank Group 2012 classification were incComprehensive search terms and strategy based on the \u2018Population\u2013Concept\u2013Context (PCC)\u2019 framework for scoping reviews were devThe search terms included keywords and Medical Subject Headings (MeSH) together with corresponding synonyms and associated terms, which are summarized in Table Articles were considered relevant if they were about healthcare providers\u2019 capacity development on data collection and quality in immunization programmes in LMICs. All citations were imported into Thomson Reuter EndNote X7 software, and duplicate citations were removed manually. A two-stage screening process for eligibility was conducted, and articles that met the inclusion criteria were selected. In the first stage of screening, two authors (Eunice Turawa (ET) and Edward Nicol (EN)) independently reviewed titles and abstracts of the citations to identify relevant articles. These results were then compared, and discrepancies resolved. As part of the second-stage screening for review, the full text of all potential eligible studies were retrieved, and two authors (ET and EN) independently reviewed the articles for eligibility for inclusion in the review; discrepancies were resolved through discussion, and when consensus was not reached, the third author (George Bonsu (GB)) intervened. Studies that did not meet the eligibility criteria were excluded at this stage. Articles that could not be obtained through online databases were also excluded from the final analysis. A data extraction form was developed according to pre-specified eligibility criteria. To ensure the reliability and consistency of the extraction form, two authors (EN) and (ET) independently piloted the extraction form using the first 20 articles. Results were compared, and the extraction form amended accordingly. At every stage of study selection and data extraction, discrepancies were resolved through discussion and contribution from the third author (GB).Using a pre-designed data-charting form, key and relevant information was identified and systematically extracted from each article that met the inclusion criteria. Following the transfer of the data into an excel spreadsheet, two authors (EN and ET) reviewed the extracted information and selected key focus areas for this review and categorized the information according to the training modules, method of assessment and outcome assessed. The two review authors grouped the outcomes into thematic heading, using the following categories: type of training, authors and titles, study setting, population, method of training and outcome of training (comments/relevant findings). Other useful available information in each article was extracted for clear and deeper understanding of the study.Data were summarized according to key components and definitions used for categorizing data. For each study, we categorized training or interventions evaluated and the outcomes into four levels based on the Kirkpatrick model .As shown in Fig. Key concepts of all studies that met the inclusion criteria were systematically summarized to provide a comprehensive but concise descriptive map of the nature and breadth of research on pre- and in-service training of HCPs\u2019 competence on immunization data handling and to identify obvious research gaps. The research objectives were used to identify and evaluate the evidence gaps. All 12 included studies were from LMICs; four studies were from sub-Saharan Africa, one from Asia and five were multi-country studies including Angola, Bolivia, Chad, the Democratic Republic of Congo, Ethiopia, Cameroon, Ghana, Lesotho, Madagascar, Malawi, Mali, Mexico, Niger, Nigeria, Senegal, South Sudan, Tanzania, Uganda, Zambia, Zimbabwe and the Philippines Table . The parOne third (33%) of the included studies , 24, 32 Sub-standard or lack of knowledge on supervision and monitoring is a major problem among the tutors. While basic knowledge on the principles of immunization is above average, student clinical practice was poorly supervised due to clinical supervisors\u2019 lack of skill and knowledge. One of the studies showed that only three of the seven medical training colleges in Kenya have the updated WHO EPI prototype curriculum , and thaNine of the 12 identified studies were on in-service training , 26\u201332. One of the major problems in HCP training is the lack of appropriate equipment and teaching aids and updated reference manuals and curriculum . Evidence shows that the majority (75%) of the pre-service training institutions lacked the necessary equipment and tools needed for practical demonstrations and knowledge of current EPI theory and practice .This review found that the curriculum, especially in pre-service institutions, is not responsive to current needs and is often outdated and usually only updated every 5 years , 30, 32.Although Hussein et al. reportedHealth information systems (HISs) are recognized as a useful tool in improving data management and access to essential data from multiple sources, but lack of the required skills to operate HIS and convey data information to the target audience has been a major bottleneck among immunization HCPs . Ward etAlthough routine follow-up and accountability are still a challenge, monitoring and evaluation of HCPs\u2019 activities, supportive supervision and development of specific, measurable, achievable, realistic and time-bound targets are essential for improving health providers\u2019 knowledge and competencies.Supervision can also lead to more efficient and effective data handling by HCPs. Effective supervision is difficult to achieve because there is no clarity on the most effective approach to supervision activities and the design and implementation of supervision. There is also no comparative intervention strategy that establishes a clear standard for performance, quality assessment and improvement in immunization data management , 30. EveRowe et al. also ideGood-quality immunization data are crucial for effective policies on vaccine-preventable disease, and in particular the reduction and prevention of under-five morbidity and mortality. However, the task of collecting and managing these data in LMICs rests mostly on HCPs who often lack the necessary skills and competencies to effectively function in these roles . CapacitFindings from this scoping review provide evidence that shows both pre- and in-service trainings are essential for the development of HCPs\u2019 competence in immunization data management, and analysis at all levels of the health system. The evidence shows that although pre-service training is fundamental, it does not adequately prepare HCPs, especially clinicians, with the necessary skills and competencies to collect, analyse and use data. This is due to a number of reasons, which include the inadequacies of the training curricula, which are not responsive to current needs, such as the changing trends in technology and preventive healthcare services, since the training curricula are often outdated , 30, 32.More importantly, the training institutions are not adequately equipped to train HCPs on data skills as the majority of the tutors and clinical instructors at pre-service training institutes lack sufficient skills and knowledge to enable adequate translation of knowledge . ContinuWard et al. highlighIn the systematic review by Vasan et al. , which lThese findings are consistent with the study by Whittaker et al. , which lThe strength of this review lies on the comprehensive nature of the search strategies used to identify the studies, which involves a range of methodologies that support exploratory review. The review extracted studies on HCPs\u2019 capacity development on data collection and quality in immunization programmes in LMICs. However, the restrictions placed as a result of the selection criteria could potentially bias the findings. Our search terms were restricted to low- and middle-income countries and specifically on the expanded programme immunization (EPI), and the review relied only on open access articles or those accessible through the electronic database and search engines, and those articles published in English, thereby possibly omitting some useful articles on the subject.This scoping review has highlighted the challenges faced by HCPs in terms of competencies and skills to perform immunization data management tasks, which have been attributed to insufficient pre-service training. Even though pre-service training is fundamental in the skills acquisition of HCPs, they often require additional in-service training and supportive supervision to effectively function in immunization data management tasks.Other issues around poor data management also stem from errors in processing data, limited use of already generated data, poor standardization of immunization data collection tools and processes such as registers, as well as ill-defined target population. These will require progressive implementation and uptake.Immunization is one of the most cost-effective ways to save lives, improve health and ensure long-term prosperity. Achievement of the aim of the Astana Declaration on primary health care to meet all people\u2019s health needs across the life course through comprehensive preventive and promotive care will require strong immunization programmes with well-trained and motivated workforce.Continuous capacity development in immunization data management competencies such as data collection, analysis, interpretation, synthesis and data use, and efforts to improve data quality should be strengthened at all levels of the health system using the minimum health information competencies framework. Additionally, all new hires require orientation by employers in data management before they commence work.Furthermore, there is a need for periodic review of the immunization-training curriculum in health training institutions, capacity development and retraining of tutors on the current trends in immunization data management such as the use of mobile technologies. The web district health information system (DHIS2) and tool like the WHO Immunization Information System (WIISE) are useful tools in improving immunization data management and use; however, these also require skilled workforce."}
+{"text": "Here, we will review the recent literature regarding the interactions between columnar epithelial cells and neutrophils, with an emphasis on intestinal epithelial cells, structural aspects of neutrophil transepithelial migration, molecular determinants of neutrophil-epithelial cell interactions, as well as modulation of these pathways. These recent studies highlight the dynamic nature of these pathways and lend insight into the complexity of treating mucosal inflammation.Inflammatory diseases of mucosal organs as diverse as the lung, kidney, and intestine, inevitably require the intimate interactions of neutrophils with columnar epithelia. The physiologic consequences of such interactions often determine endpoint organ function, and for this reason, much recent interest has developed in identifying mechanisms and novel targets for the treatment of mucosal inflammation. Elegant"}
+{"text": "To investigate the rule of kidney-tonifying method in Chinese medicine for the treatment of bone marrow suppression (BMS), in order to provide evidence and references for the clinical application of herbs and formulae. Collecting and sorting the information about the treatment of BMS related to kidney-tonifying (Bushen) method in Chinese medicine literatures on databases including Chinese National Knowledge Infrastructure (CNKI), and Chinese Biomedical Literature Database (CBM), establishing a database of BMS treating formulae after radiotherapy and chemotherapy with traditional Chinese medicine (TCM) kidney-tonifying method, and finally applying the relevant theories and techniques of data mining to analyze the medication rules of it. A total of 239 formulae and 202 herbs were included in this database, in which the herbs occurred 2,602 times in general. The high frequency herbs included Astragali Radix (Huangqi), Atractylodis Macrocephalae Rhizoma (Baizhu), and Ligustri Lucidi Fructus (Nvzhenzi). The main herb categories were deficiency-tonifying herbs, blood-activating herbs, dampness-draining diuretic herbs, heat-clearing herbs, and digestant herbs. Deficiency-tonifying herbs accounted for 64.60% of the total number. A total of 8 clustering formulae are summarized according to cluster analysis and 26 herb suits association rules are identified by Apriori algorithm. The treatment of BMS is mainly based on the method of invigorating the spleen and tonifying the kidney and liver to strengthen healthy qi, supplementing with blood-activating herbs, and dampness-draining diuretic herbs to eliminate pathogenic factors. BMS is one of the major side effect that is produced during the treatment of cancer patients with radiation, chemotherapy and drugs, which affect seriously patients' radio- and chemotherapical process and even led to treatment failure, which has become a major and difficult problem in clinical practice , 2. Acco kidney-tonifying, 239 related formulae were retrieved, upon which a database of BMS formulae was established and was standardized and classified according to the standard name and Chinese medicine classification of People's Republic of China Pharmacopoeia (2015 Edition) [ Chinese Medicine Dictionary [By collecting and collating the literatures on the databases including CNKI, CBM, VIP database, and WANFANG database about the treatment of BMS after radiotherapy and chemotherapy in Chinese medicine and inputting them to the NoteExpress literature management software and eliminating the literatures which do not meet the requirements, such as reviews, thin sample or not representative cases, and proven reports and animal experiments, this study established a data information collection form and entered the filtered prescription information into it. When the data was collected and sorted, a total of 621 effective formulae were gained to build a database of Chinese medicine treatment of BMS. By inputting the keywordEdition) and Chinctionary .A database of BMS treatment with kidney-tonifying formulae was established with the application of Excel 2013 and was converted into the format required by the data mining software. Programming and modelling the data with R language are done according to the data characteristics of Chinese medicine medication rules, within which the core herbs were clustered by Hierarchical clustering algorithm. For example, Vania M. Youroukova et al. analyzed the phenotype of severe bronchial asthma by using cluster analysis and obtained four clusters that provided reference for clinical treatment . The AprAmong the 239 formulae included in the analysis, there were 202 herbs of Chinese medicine included, and their occurrence frequency was 2, 602 times. Of the highest frequency was the herb Astragali Radix (Huangqi), which occurs 184 times, with a frequency rate of 7.07%. The second was Atractylodis Macrocephalae Rhizoma (Baizhu), whose frequency was 129 times (4.96%); the Ligustri Lucidi Fructus (Nvzhenzi) ranked the third with 125 times and (4.80%). And the top-nine herbs, respectively, are Astragali Radix (Huangqi), Atractylodis Macrocephalae Rhizoma (Baizhu), Lucidi Fructus (Nvzhenzi), Angelicae Sinensis Radix(Danggui), Lycii Frucyus(Gouqizi), Codonopsis Radix (Dangshen), Poria(Fuling), Rehmanniae Radix Praepapata (Shudihuang), and Spatholobi Caulis (Jixueteng), whose frequencies all exceed 95 times, with their frequency rate higher than 3.65%, and their cumulative frequency reached 41.12%. Herbs with a frequency more than 18 times are shown in One hundred and eight high-frequency herbs with a frequency of 9 or more were categorized in this study. The details of herb categories and frequency are shown in Thirty-eight core herbs mentioned above were clustered by Hierarchical clustering algorithm in R language and were divided into 4-10 classes by system clustering. Considering Chinese medicine theory, 8 categories are more appropriate in this study, and they were named as cluster one to eight subsequently. The clustering details are shown in In this study, the R language data mining software was applied for modeling, and the Apriori algorithm was used to analyze the association rules of the core herbs above. The parameters were set as support degree \u226520% and confidence level \u226585% , upon wh(1) The method of strengthening the spleen and tonifying the kidney is the most common method for treating BMS in kidney-tonifying method. The herbs used in the tonifying kidney are mainly sweet, bitter, and pungent, rather than salty which is the corresponding flavor of the kidney in Chinese medicine theory and is different from the general idea that herbs salt in flavor are mainly used in kidney-reinforcing therapies and is more practical for clinical use . The herThe top nine frequent herbs are all deficiency-tonifying herbs apart from Poria (Fuling), the dampness-draining diuretic herb and Spatholobi Caulis (Jixueteng), the blood-activating herb. Although the two herbs are not classified as deficiency-tonifying herbs, they are often used in combination with deficiency-tonifying herbs to prevent the stagnation caused by deficiency-tonifying herbs. A former study shows that alfalfa polysaccharides and their derivatives have the effects of anticancer, anti-inflammatory, antioxidant, and antiviral activity biological activities and are good for health . In in vAccording to the relevant techniques and theories of data mining and the analysis of medication rules of applying kidney-tonifying method in treating BMS after chemoradiotherapy, it is revealed that this kind of treatment is based on the method of strengthening spleen and tonifying kidney, replenishing liver and kidney and combined with invigorating healthy qi, and also applied methods include dampness-draining and blood-activating to eliminate pathogenic factors. With the help of data mining techniques and theories, this study has summarized the medication rules of kidney-tonifying method in treating BMS after radiotherapy and chemotherapy, which can facilitate TCM diagnosis, treatment, and experimental research, and would be helpful for BMS patients."}
+{"text": "According to the recent report of the World Health Organization (WHO), the global burden of non-communicable diseases (NCDs) has been rising over the last century, with the leading causes of disability being depression, diabetes, cardiovascular diseases (CVDs), and certain cancers . BesidesNumerous epidemiological studies have demonstrated the association between oxidative stress and NCDs. Oxidative stress is commonly known as an imbalance in the production of reactive oxygen species (ROS) and the biological antioxidant defense system. Over the last years, exogenous antioxidants have received great attention because of their potential beneficial effects toward human health. Contained in foods commonly consumed in all populations worldwide, antioxidants represent an attractive explanation of their beneficial effects. However, antioxidants are contained not only of fruits and vegetables, which are characteristic components of healthy dietary patterns, but also in other plant-derived foods, such as tea, coffee, and cocoa. Therefore, the evaluation of dietary habits of a population, and in particular the intake of antioxidants and adherence to healthy dietary patterns is crucial. Indeed, several studies explored the dietary intake of antioxidants and antioxidant-rich foods in a Mediterranean area, as well as their association with fluid and beverage intake ,5,6, demMoringa oleifera leaves [Accumulating epidemiological evidence have demonstrated the association between both antioxidants and antioxidant-rich foods intake and human health. For instance, recent meta-analysis and cohort studies showed that high consumption of antioxidants and antioxidant-rich foods is associated with decreased risk of overall and CVD-related mortality , certaina leaves , coffee a leaves , mulberra leaves , and broa leaves .Nevertheless, nowadays studies exploring the possible effects of antioxidants toward human health, should take into consideration the differences in dietary intake of polyphenols in various populations, differences in food processing (loss of phenolic content), absorption, bioavailability, and metabolism of polyphenols. The study by Khairallah et al. focused on the antioxidant effect of phenolic extracts from polyphenol-rich potato, demonstrating that the colonic microbial digestion of potato-based polyphenols could lead to improved colonic health, as this process generates phenolic metabolites with significant antioxidant potential .Several molecular mechanisms may account for the beneficial effects of polyphenols. The antioxidant effects of dietary polyphenols can be attributed to the regulation of redox enzymes through reducing reactive oxygen species (ROS) production and modulation of the II-phase enzymes responsible for the cellular oxidative response. Indeed, the study by Marmouzi et al. showed that antioxidant compounds from hybrid oat lines prevent against hyperglycemia-induced oxidative stress via the modulation of expression of key II-phase enzymes . AdditioFurther evidence from both epidemiological and experimental studies is needed in order to better characterize antioxidants that may exert beneficial effects toward the prevention of chronic diseases associated with oxidative stress and inflammation."}
+{"text": "In the last decades the study of older people and social networks has been at the core of gerontology research. The literature underlines the positive health effects of traditional and online social connections and also the social networks\u2019s positive impact on cognitive performance, mental health and quality of life. Aging in a Networked Society is a randomized controlled study aimed at investigating causal impact of traditional face-to-face social networks and online social networks on older people\u2019 health, cognitive functions and well-being. A social experiment, based on a pre-existing longitudinal study (InveCe - Brain Aging in Abbiategrasso) has involved 180 older people born from 1935 to 1939 living in Abbiategrasso, a municipality near Milan. We analyse effects on health and well-being of smartphones and Facebook use , exploiting the research potential of past waves of InveCe study, which collected information concerning physical, cognitive and mental health using international validate scale, blood samples, genetic markers and information on social networks and socio-demographic characteristics of all participants. Results of statistical analysis show that poor social relations and high level of perceived loneliness affect negatively physical and mental outcomes. We also found that gender and marital status mediate the relationship between loneliness and mental wellbeing, while education has not significant effect. Moreover, trial results underline the causal impact of ICT use on self-perceived loneliness and cognitive and physical health."}
+{"text": "This descriptive paper aims to describe the design and implementation of a community engaged primary healthcare strategy in rural Australia, the Primary Healthcare Registered Nurse: Schools-Based strategy. This strategy seeks to address the health, education and social inequities confronting children and adolescents through community engaged service provision and nursing practice.There have been increasing calls for primary healthcare approaches to address rural health inequities, including contextualised healthcare, enhanced healthcare access, community engagement in needs and solutions identification and local-level collaborations. However, rural healthcare can be poorly aligned to community contexts and needs and be firmly entrenched in health systems, marginalising community participation.This strategy has been designed to enhance nursing service and practice responsiveness to the rural context, primary healthcare principles, and community experiences and expectations of healthcare. The strategy is underpinned by a cross-sector collaboration between a local health district, school education and a university department of rural health. A research framework is being developed to explore strategy impacts for service recipients, cross-sector systems, and the establishment and maintenance of a primary healthcare nursing workforce.Although in the early stages of implementation, key learnings have been acquired and strategic, relationship, resource and workforce gains achieved. This strategy seeks to address the health, education, and social inequities confronting rural children and adolescents through community engaged primary healthcare service design and implementation. This strategy aligns nursing services and practice to the unique rural context, the principles of primary healthcare [World Health Organization (WHO), et al., The PHCRN:SB strategy, whilst sharing some similarities with contemporary school nursing services an exploration of evidence and theory; (2) the identification of the right health professional with the right scope of practice to provide services to address these findings; and (3) the design and implementation of a potential solution, the PHCRN:SB strategy.Guided by these findings, an exploration of the literature focused on the principles associated with primary healthcare and integrated care and the theories of family-centred care (FCC) and trauma-informed care. Primary healthcare principles include community participation in promoting health and addressing health inequities and cross-sectorial collaborations. Within primary healthcare, resources and actions are directed towards populations that experience the greatest levels of inequities WHO, , in thiset al., et al., et al., FCC locates \u2018the needs of the child, in the context of their family and community\u2019 through the development of collaborative and dynamic models of care service recipient impacts and outcomes; (2) cross-sector systems impacts and; (3) implications for the establishment and maintenance of a rural Australian primary healthcare nursing workforce. Each of these streams has a number of key focus areas. Stream 1 will explore education, health and social impacts for service recipients . Stream 2 will explore strategic, policy, funding and practice impacts on cross-sector systems. Stream 3 will explore impacts for the PHCRNs, the influence of the nursing model of care on nursing practice and pre-registration student experiences within the strategy. Each stream has cross-sector research leaders with responsibility to convene research sub-groups, develop research protocols and collectively contribute to the overarching research agenda.Governance structures play a critical role in promoting the effectiveness and success of healthcare innovations. Governance involves \u2018ensuring strategic policy frameworks exist and are combined with effective oversight, coalition building, regulation, attention to system design and accountability\u2019 WHO, : 86. A cA number of conceptual, cross-sector, health, professional, financial and research learning points have been gained. Conceptually, it became evident early in community consultations that the title \u2018school nurse\u2019 was not considered sufficient in describing the role and scope of nursing practice. Whilst synergies exist between contemporary school nursing practices, strategy aims, and the role of the PHCRNs, significant differences were identified . The title, PHCRN:SB, was adopted to: clarify the role and scope of nursing practice; respond to community perceptions and feedback; and provide a contemporary interpretation of nursing care and practice within a rural Australian and school-based settings.et al., Key cross-sector learning points included the requirement for significant time investments to establish a consensus-orientated (Johnston Despite wide spread support for the strategy, concerns were raised in relation to the potential for the PHCRNs to contribute to service fragmentation, increased referrals and workloads for other services. In contrast, the literature consistently identified the role of PHCRNs in promoting care coordination and integration. Cross-sector stakeholders acknowledge that tensions can be created when new health strategies have the potential to disrupt existing status quos and healthcare arrangements (North West Joint Improvement Partnership, Professionally, challenges have been experienced in attracting suitably qualified registered nurses to the positions. Additional investments have been required to support the appointed PHCRNs in transitioning from hospital-centric and acute care practice to schools-based and primary healthcare practice. Substantial resource, time and education investments have been directed towards nurse preparation for primary healthcare practice, including the enrolment of all nurses in post-graduate primary healthcare coursework.The uniqueness of the opportunity to co-design and contextualise nursing care and practice has been described by nursing executives and academics. Financially, the need to secure sustainable funding to appoint the PHCRNs has been a focus of the collaboration. This focus has been informed by previous experiences of short-term funding, lack of sustainability of new initiatives in rural contexts and levels of community cynicism towards poorly resourced healthcare innovations.Although in the early stages of implementation, strategic, relationship, resource and workforce gains have already been achieved. Strategically, a cross-sector governance committee has been established and convened to provide guidance and executive level endorsement of strategy aims, nursing care and practice approaches. Strategic documents have been developed and endorsed by this committee, including strategy proposal, communication strategy, comprehensive literature reviews, an initial evaluation and research framework, and a new model of nursing care. Relationships across sectors at the executive, senior management and service levels have been established or consolidated with relationship consistency being promoted through structured and routine multi-level committee, management and service meetings. New and sustained resources to fund the five PHCRN positions have been secured through the local health district, contributing to service continuity, consistency and sustainability. All five nursing positions have now been appointed to.et al., et al., Evidence indicates that to effectively address the challenges confronting disadvantaged children and adolescents we need to build supportive services that coordinate care across agencies in the same community, specifically those engaging with the same families. Increasing our understanding of the health needs of children and adolescents, and the application of this knowledge in the development of responsive primary healthcare policies and practices is necessary in establishing safe, health promoting environments and improved health outcomes (Viner et al., As the complexity of health, educational and social needs of rural school students increases, there are calls for greater levels of innovation in the design and implementation of alternative healthcare models that enhance service accessibility, acceptability and sustainability. Social innovations, those that have the capacity to transform the lives of individuals and communities, are required to resolve complex health inequities (Phills"}
+{"text": "RECOTOX is a cross-cutting initiative promoting an integrated research to respond to the challenges of monitoring, understanding, and mitigating environmental and health impacts of pesticides in agroecosystems. The added value of RECOTOX is to develop a common culture around spatial ecotoxicology including the whole chain of pressure-exposure-impact, while strengthening an integrated network of in natura specifically equipped sites. In particular, it promotes transversal approaches at relevant socioecological system scales, to capitalize knowledge, expertise, and ongoing research in ecotoxicology and, to a lesser extent, environmental toxicology. Thus, it will open existing research infrastructures in environmental sciences to research programs in ecotoxicology of pesticides. One of the greatest challenges for ecosystem sustainability and human health is currently the ever-increasing pollution of all environmental compartments by chemicals of various types and properties. For many years, the scientific community has emphasized the lack of long-term field- and landscape-scale monitoring of the fate of chemicals in water, soil, air, and biota, and of their negative effects on living organisms. AllEnvi, Aviesan, and Athena, the French alliances that combine the national research potential and coordinate the scientific strategy, created the French initiative on toxicology, ecotoxicology, epidemiology, and social sciences, that underlined these points in 2013 AllEnvi , they liAgricultural systems, subject to frequent and diverse pesticide inputs, have been treated for more than 70 years with pesticides and other biocides to increase crop production and quality and the variable characteristics of the hydroagroecosystems where they are applied require the implementation of interdisciplinary research to address the complex issues of ecotoxicology and environmental toxicology of pesticides at the landscape or territorial scale.https://www.anses.fr/en/content/phytopharmacovigilance).Institutional and professional organizations request integrated methods and models to improve monitoring, assessment, management, and mitigation of both environmental and human health risks associated with pesticides. Indeed, assessing the impacts of these substances on ecosystems, and their possible consequences on human health, in a context of global change and of exposure to multiple stressors, remains a priority issue for policy makers. Under the French legislation, the \u201cphytopharmacovigilance\u201d concept has been erected in order to monitor the adverse effects of pesticides used in agriculture in relation with the granting of their marketing authorizations is a cross-cutting initiative to promote integrated research to respond to the scientific challenges of monitoring, understanding, and mitigating the environmental and health impacts of pesticides and biocides in agricultural landscapes, in agreement with the \u201cEco Health\u201d approach. Here, we describe the scientific and operational objectives of RECOTOX, based on its experimental site network.In that context, RECOTOX that promotes a common culture of spatial ecotoxicology of pesticides that considers the whole chain pressure-exposure-impact. RECOTOX accounts for a wide range of agropedoclimatical situations, in terms of soil-bedrock, agronomic, and climatic-hydrologic characteristics, influencing pesticide sources or biotransformation (retention-degradation) and transfer processes. RECOTOX, therefore, explores the panel of responses to provide systemic and generic outcomes.RECOTOX aims to (i) determine pesticide transfers and mitigation in soil/water/atmosphere, (ii) analyze the effects of pesticides on biodiversity and resilience processes, (iii) understand how farmer practices in interaction with the environmental affect pesticides transfers, and (iv) examine socioeconomic processes such as acceptability of changing practices, costs, or expectations of civil society. Consequently, the scientific community embedded within RECOTOX comprises environmental chemists, hydrogeologists and hydrologists of the critical zone, ecotoxicologists, microbiologists, ecologists and toxicologists, agricultural scientists, and scientists of human, economic, and social sciences. The added value of RECOTOX in terms of skill, knowledge, and tool capitalization in the field of ecotoxicology could be transposed to toxicology, and then promote interdisciplinary and federative research projects, e.g., in the field of phytopharmacovigilance.Promoting an integrated research in ecotoxicology. The first and main action of RECOTOX is to incubate research projects, involving the wide range of scientific and technological expertise of its partners, and making use of the complementarity of their observatories and skills. As a consequence, RECOTOX aims to create general knowledge, synthesis of information, and facilitate the emergence of integrated research in spatial ecotoxicology among its sites. It will also rely on the homogenization of reference documents and integration of existing metadata in a common open information system. RECOTOX will strengthen in selected sites\u2019 existing measurements of practices and uses, transfers, exposure, or impacts in the different compartments , and at the relevant spatial and temporal scales, establish an integrated approach of the pressure-exposure-impact chain. This integrated approach will benefit from ongoing research programs conducted at the concerned research sites, and/or more comprehensive projects to share methods and models previously developed for different sites of the network.Upscaling approaches in ecotoxicology from plot to landscape. One current challenge is to include ecological realism into ecotoxicological studies. A major step is to understand the relationships between chemical releases and mitigation, exposure patterns, and population spatiotemporal dynamics in heterogeneous landscapes, in response to agricultural practices at various spatial and temporal scales. More, there is a lack of more realistic biological indicators in the case of moderate and chronic environmental degradation by pesticides, in particular indicators based on networks of interactions between organisms under the influence of the physicochemical conditions of the environment. Ecotoxicologists, as well as risk assessors, express increasing interest in learning more about both exposure to and effects of chemicals at the landscape scales. RECOTOX will also evaluate the effect of remediation solutions on the measured or expected impacts at the relevant management scales. Here, observation, experimentation, and modeling will be combined.From ecotoxicology to toxicology. RECOTOX aims at developing, in some cases, observational studies to improve the characterization of human exposure and exposome, by collecting environmental samples, data, and information on daily environments of volunteers. Actions may include (i) the identification of pesticide sources; (ii) the selection of sentinel populations, highest-exposed individuals, activities, and behaviors that yield exposures; (iii) the evaluation of the magnitude and frequency of exposure; and (iv) the examination of the exposure\u2013response relationships. Such data are particularly necessary to improve performance of epidemiologic studies and reduce uncertainties in risk assessment. These studies will also enable to share experience with epidemiologists. RECOTOX will also fact to integrate both environmental and human exposure assessments implies organizing the network to develop interoperability of data, metrics, datasets, and methods. An appropriate information system will be devoted to data management from new experiments and also to ensure identification and valorization of acquired data currently managed by different and distributed information systems within each observatory.Communication, exploitation, and dissemination of results. RECOTOX aims at structuring the scientific community in ecotoxicology and developing interactions with toxicologists. RECOTOX will favor interdisciplinary research programs and promote facilities for an integrated approach, and thus contribute to increase the research potential on continental ecosystems. The wide range of scientific and technological expertise of RECOTOX partners may also serve as an educational support for training in the fields of toxicological risks ecosystems (ecotoxicology) and human health.RECOTOX develops cross-cutting actions, presented hereafter, within a current network of 10 sites.http://www.lter-europe.net/lter-europe/infrastructure/networks/national-networks#lter-france), five of which being involved in RECOTOX, will provide a very strong basis for landscape-scale analyses of pesticide distribution within ecosystems, as well as excellent connections with society and stakeholders in general. The Research Infrastructure OZCAR \u201cNetwork of Critical Zone Observatories\u201d (http://www.ozcar-ri.org/) is a network of sites of continental surfaces with instrumentation on soil, subsurface, water, and ice dedicated to continuous measurement in support of knowledge and modeling of water, carbon, and associated elemental cycling, and comprises two sites of RECOTOX. Then, RECOTOX can also benefit from the Research Infrastructure \u201cAnalysis and Experimentation on Ecosystems - France\u201d . AnaEE-France is an integrated network of the major French experimental, analytical, and modeling platforms dedicated to the biological study of continental ecosystems . This infrastructure aims at understanding and predicting ecosystem dynamics under global change. AnaEE-France comprises complementary nodes offering access to the best experimental facilities and associated biological resources and data: the Research Infractructure Ecotrons, and semi-natural experimental platforms to manipulate terrestrial and aquatic ecosystems. AnaEE-France also provides shared instruments and analytical platforms dedicated to environmental (micro-) biology, as well as databases and modeling tools designed to represent ecosystem dynamics in coupling ecological, agronomic, and evolutionary approaches. AnaEE-France is already open to the community of scientists in the field of continental ecotoxicology . Indeed, this infrastructure brings together networks of Biological Resource Centers (BRC) maintaining genetic, genomic, and biological resources produced and characterized by research on domestic animals, crops and model plant species, wild relatives of domestic species, microorganisms relevant for agriculture and macrofauna of the environment, and environmental samples. RECOTOX can particularly benefit from its capacity to maintain a large diversity of well-documented resources, to collect novel resources, to contribute to their characterization, to distribute them, and to manage the related data. RARe can also help the sites of the network in strengthening and organizing their ability to store and secure collected samples and their related data in the long-term.In addition, RECOTOX would benefit from the Research Infrastructure \u201cAgronomic Resources for Research\u201d (AgroBRC-RARe), and its pillar \u201cenvironmental resources\u201d . Indeed, ECOTOX has three main objectives: (i) to encourage scientific thinking within the community of ecotoxicologists, whether they are dealing with aquatic or terrestrial ecosystems; (ii) to contribute to defining a national research strategy in this field; and (iii) to favor scientific production , the international network on Microbial Ecotoxicology which includes sites centered on the design of agricultural systems, allowing reduced agricultural pressure (including pesticides) for the characterization of the determinants and effects of agricultural practices at the local scale,The catchment, landscape, or territory scale, which allows the observation, experimentation, and modeling of various agricultural practices, pollutant dissipation/retention/transformation schemes in both cultivated or non-cultivated landscape components, or various exposures and impacts on continental terrestrial and aquatic ecosystems,The global scale, where it is intended to organize and cross observations and experimentation results obtained on a similar way in several complementary sites.RECOTOX focuses its activities in a network of instrumented sites mostly belonging to recognized Research Infrastructures , managed by research institutes and universities. The sites cover a variety of soil, agronomic, climatic, and socioeconomic situations, which are reflected in the diversity of agricultural practices, land uses, and landscapes, as well as hydrological and biogeochemical conditions. Their main characteristics are presented in Table http://www.zaplainevaldesevre.fr/, Bretagnolle et al. 2, including the forest of Chiz\u00e9, and is a typical rural area with a temperate Atlantic oceanic climate. It includes around 450 farms with high diversity of agricultural strategies with organic farming, conservation farming, and conventional farming. Since 2003, half of the area is designated as a Special Protection Area (NATURA 2000 network) for conservation of remarkable or endangered bird species such as the little Bustard Tetrax tetrax or harriers Circus spp. From 1994 onwards, biodiversity surveys have been carried out every year in 120 to 200 farmers\u2019 fields. Monitoring started with birds and small mammals in 1994, ground-dwelling arthropods since 1995 and then other arthropods , plants since 2005, and soil organisms since 2016. In addition to biodiversity monitoring, farming practices have been monitored by means of farmer interviews (about 150 fields per year) which allow to quantify pesticide uses and analyze the relationships between this use and biodiversity. The ZAPVS also hosts the ECOBEE platform comprises the observatory ORACLE/BVRE Orgeval (http://gisoracle.irstea.fr). Located 70 km east of Paris, the Orgeval catchment supports research on understanding the processes and developing integrative modeling of the hydrological functioning of its small upstream catchment. Started in 1962, the Orgeval catchment is managed by Irstea. This site belongs to the ORACLE observatory (1800 km2) which is composed of the Grand Morin and Petit Morin catchments. The ORACLE observatory gathers many national and international research units in the GIS ORACLE (Group of Scientific Interest) created in 2011. The Orgeval catchment is also part of the \u201cZone Atelier Seine\u201d thanks to the Interdisciplinary Research Program in Environment on the Seine basin (Piren Seine) and it is also part of the IR OZCAR. The ORACLE observatory is dedicated to the improvement of the knowledge on the hydrological and biogeochemical functioning of sedimentary basins in rural anthropized systems. Its objective is the observation and modeling of streamflow and of water and pollutant transfer processes at various scales. It also works on the optimization of data acquisition methods. ORACLE, with its set of nested subbasins and its perennial long-term observations (more than 50 years), allows to address the scaling and global change issues. The Orgeval catchment area covers 104 km2. It is mostly constituted of drained fields and devoted to field crops. It has a direct influence, in terms of quantity and quality, on the flows going from the Marne to the Seine Rivers until the Paris conurbation. On the Orgeval catchment, chronicles of streamflow and water quality data are available since 1962 and 1978, respectively, and the monitoring of pesticides started in 2008, in the context of two projects: Phyt\u2019ORACLE (EC2CO) and PIREN Seine is an environmental research platform created in 2000 and located in the Grand Est region. Currently, the ZAM gathers a Lorraine scientific community around the protection of water resource of the Moselle River. The ZAM covers 15,400 km2 in France and presents a highly contrasted occupation of the territory combined with specific anthropic pressures. The upper part of the basin is dominated by the Vosges Mountains, sitting on acidic soils . The middle and lower parts of the French basin correspond to a succession of cuestas characterized by limestone plateaus with permeable soils and plains with a dominant clay soil. Agriculture, especially mixed farming and livestock farming, is present on the middle part of the basin, which receives regular agricultural inputs . The downstream part of the basin is characterized by increasing urbanization and by the heritage of Lorraine\u2019s industrial past (iron mining and steel industry). Still, throughout its journey, the Moselle River contributes to maintain wetlands areas with a rich biodiversity . The ZAM research actions are structured around five main disruptions linked to geomorphology, land use, and human activities: the acidification of streams and rivers in the Vosges mountains; pesticides and their residues, mainly linked to agricultural activities (http://www.zabr.org/) comprises the Ardi\u00e8res-Morcille experimental site (https://saam.irstea.fr/), which studies the impacts of anthropization, especially wine growing, on river water quality and aquatic ecosystem functioning in order to highlight the key involved processes, biological adaptations, and remediation trajectories. The Ardi\u00e8res-Morcille experimental site belongs to the Rh\u00f4ne Basin Long-term Environmental Research Observatory (ZABR) which comprises a set of observatories and experimental sites devoted to a better understanding and management of the Rh\u00f4ne River basin. The Ardi\u00e8res-Morcille experimental site was set up in 1987 by the Cemagref, the regional service for water use and supply and the Beaujolais Development Committee. It moved in 2007 to the ZABR (which has been labeled SOERE ZA in 2001). Among the other experimental sites and observatories of the ZABR, the Ardi\u00e8res-Morcille experimental site was chosen in priority to be part of the RECOTOX network because of the anteriority and history of the research devoted to the fate and effects of pesticides used in agriculture, and because of the interdisciplinary approach developed along the fate-exposure-impact chain. Researches on the Ardi\u00e8res-Morcille experimental site also contribute to providing operational tools to better understand and implement buffer zones in catchments so as to limit the diffuse agricultural pollutions of rivers . The Ardi\u00e8res-Morcille experimental site consists of two nested catchments: the Morcille catchment (8 km2) and the Ardi\u00e8res catchment (150 km2). Located northwest of Lyon in continental climate, the Ardi\u00e8res-Morcille experimental site is characterized by intensive wine growing. It is representative of the agricultural, soil, and climatic conditions of the central and northern Beaujolais. The first studies (since 1987) started on the Morcille subcatchment which is now equipped with long-term hydrometeorological stations and experimental subsites. The recent studies on the Ardi\u00e8res catchment (since 2011) enable both to address the question of hydrological processes and modeling scaling up and to strengthen the involvement of the economic and social sciences. Four research themes are crossed on the Ardi\u00e8res-Morcille site: observation and modeling of hydric transfers of pesticides; characterization of the chemical contamination of the river; development of knowledge and indicators of the in situ impacts of pesticides on aquatic ecosystems and their recovery capacity (resilience); development of methods and tools to help public decision-makers to understand and use the research results (http://zaaj.univ-fcomte.fr/) is an area of 13,500 km2 that covers a large part of the Jura medium mountains in Bourgogne-Franche-Comt\u00e9 and Rh\u00f4ne-Alpes regions, eastern France. It is composed of grasslands exploited for cheese production, karst and rivers, forests, peatlands and wetlands, and urban areas. ZAAJ observatories are designed to promote long-term interdisciplinary research on the dynamics of the socioecosystems of this territory. They contribute to capitalize on field data and to analyze and promote the results from long-term observation schemes at the interface between ecology, environment, and society. The main researches questioned the impacts of human activities, including those due to environmental contaminants, and their implications in terms of ecosystems health, social economic issues, and biodiversity conservation. They aim to assess the vulnerability of ecosystems and population at risk and to provide predictive and management tools to help maintain ecosystem services and protect population and ecosystems\u2019 health. Among questions related to RECOTOX, we can cite for instance vole outbreak management in grassland agrosystems and side effects on wildlife (http://www.obs-omere.org) is composed of two cultivated headwater Mediterranean catchments: the Roujan catchment (0.91km2) located in France (Languedoc region) and the Kamech catchment (2.63 km2) located in Tunisia (Cap Bon Peninsula). The OMERE observatory was set up in 2002 to understand the impact of agricultural and land management on mass fluxes in typical farmed headwater catchments of the Mediterranean region. Within this main objective, the OMERE aims at studying the natural and anthropogenic drivers of pesticide contamination of soil and water across scales from plot to catchment scales. The observatory helps to address the effect on pesticide transfer of highly variable hydroclimatic conditions characterizing Mediterranean regions , as well of soil type, crop treatment, and land management. The two catchments are similar with respect to environmental and climatic conditions. They differ according to the change in land use and human activities they are submitted to. In the Kamech catchment, cereals, legumes, and irrigated market gardening are mainly cultivated and a progressive intensification of agriculture occurs with a full use of the area available for agriculture and an increasing application of fertilizers and pesticides. In the Roujan catchment characterized by wine growing, intensification of agriculture has already been operated for a few decades and has led to the creation of a network of ditches and human-made slopes. So far, the dynamics of pesticides, mainly herbicides, has been studied in Roujan catchment. Pesticides have been monitored in soil, runoff water, groundwater, and rainfall. In surface waters, the monitoring is performed from plot to catchment scale using a nested network of hydrometric stations. The monitoring design is based on the knowledge of the applied treatments that are also recorded.The agro-hydrological observatory OMERE is an observatory of agricultural pollution in the French West Indies composed of two equipped catchments: one in Guadeloupe and the other one in Martinique. It is dedicated to the study of the fate of pesticides (including chlordecone) in the environment according to agricultural practices. The OPALE observatory in Capesterre-Belle-Eau in Guadeloupe, and the Galion catchment (40 km2) in Martinique. Previously called OPA-C, the OPALE observatory was accepted in the frame of the call for projects of the Chlordecone National Action Plan\u2014catchment (PNAC-BV) in May 2012. This project, lasting from 2012 to 2014 enabled the implementation of equipment in the two catchments thanks to a partnership between the BRGM, CIRAD, IRD, and INRA. The P\u00e9rou-P\u00e8res River catchment in Guadeloupe is located on the edge of the volcano la Souffri\u00e8re. It is composed of ashy soil on a recent geological formation. The Galion catchment in Martinique is located on well-developed soils with old geological formation. Those two sites are typical of tropical conditions with the leaching of soils with a high organic matter content. They enable to cover the main crops specifically of the French West Indies: sugar cane and banana. Therefore, those two sites have been affected by a heavy use of chlordecone between 1972 and 1993. The OPALE observatory aims at monitoring the agricultural practices and surface or groundwater contamination on a small agricultural area is an agroenvironmental observatory on the Vesle catchment. It aims to guide territory stakeholders in the coconstruction of a collective knowledge management device about agricultural practices, in order to help the implementation of actions to improve the water resource quality. OBSERVOX is a territorial observatory of agricultural practices on the Vesle catchment up to the Couraux water catchment area, which covers 700 km2. It was created in 2007 in the frame of the AQUAL objective contract. OBSERVOX consists of five subcatchments. It is carried by the SIABAVE and the scientific part is led by the CReSTIC (Research Center in Sciences and Technology of Information and Communication \u2013 Universit\u00e9 Reims Champagne Ardennes) and the ASTER unity of INRA of Mirecourt. The Seine Normandie Water Agency and the FEDER take part in the cofinancing of the project. In OBSERVOX, two sites are part of the RECOTOX network: the site of Cernay-les-Reims and the site of Sommevesle. The first one covers 37 ha of vineyards localized on the Reims and Berru mountain slope. Approximately 50 farmers work on this site. The second one covers 830 ha of croplands. Those two sites are characterized by a temperate continental climate tending towards oceanic and chalk soils of the Champagne region. This territory is typical of the Champagne region. The OBSERVOX observatory aims to increase knowledge in partnership with territory stakeholders on water resource quality and changing agricultural and wine-making practices, as well as on the factors affecting molecule transfers towards water resource. It has three objectives: access the change in pesticide pressures linked to their use in vineyards and croplands; explain this evolution; link this evolution to analyzed pesticides and metabolites in waters from the Couraux water catchment area. Benefiting from a 10-year monitoring in the Champagne region, the OBSERVOX site is also located in an agricultural area where there is a heavy use of pesticides. Therefore, this site is particularly relevant to study the impact of pesticide use on water resources.The observatory OBSERVOX enables the quantitative evaluation of matter transfer processes in relation to hydrological and agronomic forcing and human activities in vineyards in order to understand, quantify, and predict the hydrological and biogeochemical functioning of an agrosystem in perennial culture. Located 15 km southwest of the town of Colmar in Alsace, the site is one of the observatories of the Laboratory of Hydrology and Geochemistry of Strasbourg . A 43-ha vineyard catchment was equipped in 2003 for the monitoring of pesticides, and then in 2009 for the monitoring of flows and cycles of solutes, including pesticides and metals and integrating an artificial wet buffer zone at the outlet of the 43-ha catchment. The Hohrain\u2019s catchment team is composed of researchers of the LHyGeS and lecturers of ENGEES and EPLEFPA (College for winegrowers), as well as the city of Rouffach and winegrowers in the catchment area. The monitoring of the Hohrain-Rouffach catchment has been developed in the framework of the LIFE Environment project ArtWET (2006\u20132011), the INTERREG IV PhytoRET (2011\u20132014), and the PACOV project , coordinated by the LHyGeS. The Hohrain-Rouffach site is representative of agriculture, soil , and continental climatic conditions of the Alsatian Piedmont. The site is equipped to quantify solute flows at the catchment scale and the vineyard plot (two 1341-m2 plots equipped). The artificial stormwater wetland zone (320 m2 and 1500 m3) located at the catchment\u2019s outlet is studied since 2009 in terms of reactive transport of pesticides and metals at the water/plant/sediment interface. For 10 years, the catchment has served to collect information on water and chemical flows as well as land use data. A specificity of the catchment is that it enables to investigate the plot\u2013catchment\u2013wetland buffer zone continuum is an observatory devoted to the study of diffuse contamination of crop fields by mycotoxins, trace elements, and pesticide residues. It is an agronomic tool created in 2010 in the frame of the Combined Technology Network (CNT) in order to focus on the thematic field of sanitary quality of major agricultural products. Quasaprove is a network of plots whose agropedogeochemical conditions are well known. It enables to perform full-scale tests on hypotheses and models about the sanitary quality of crops in pre- and post-harvest . The Quasaprove network is spread on the whole French territory. It is located in seven INRA sites, two Terres Inovia stations, four ITAB stations, 11 agricultural secondary schools sites, and one Arvalis site in Boigneville. The seven involved INRA sites are as follows: UE Domaine exp\u00e9rimental de la Motte au Vicomte de Rennes, UE 0802 d\u2019Agronomie de Toulouse, UE 1246 Grandes Cultures Versailles-Grignon, UE 1373 Fourrages Environnement Ruminants de Lusignan, UMR EMMAH Domaine St Paul Avignon, UE d\u2019Epoisses, UE Grandes Cultures Innovation Environnement \u2013 Picardie. Quasaprove is led by ACTA and INRA. In the Quasaprove network, seven sites belong to the RECOTOX network. Located in Auzeville in Haute-Garonne, Lusignan in the Vienne, Epoisses in C\u00f4te-d\u2019Or, Le Rheu in Ile et Vilaine, Versailles in the Yvelines, Estr\u00e9es-Mons in the Somme, and Avignon in the Vaucluse; those sites cover a wide range of soil agricultural practices and climate conditions all over the French territory. Conventional and organic croplands are prevailing in the studied sites. These focus on diffuse agricultural contamination in different compartments and try to understand the sources and accumulation pathway of pollutants. The CNT Quasaprove activities deal with scientific and technical questions in relation with the source, fate, and management of contaminants and non-desirable organisms which jeopardize the sanitary quality at every stage of the food chain. The objectives of the CNT Quasaprove are to assess the contamination levels of crops and agricultural soils; quantify the plot trace elements flow and assess the impact of practices on soil contamination; test characterization tools of the trace element availability, test at a field scale the hypotheses and predictive models of the crop contamination risk; keep a sample bank for further analysis on contaminants not yet studied. The Quasaprove network benefits from a chronicle of the exogenous intakes (fertilizers and pesticides). The multicontamination approach is studied in priority. One of its originality is also to take simultaneously into account the soil and plant compartments with the subsequent difficulty to analyze and model transfers.The QUASAPROVE network its quasi monoculture of vines and its relatively homogeneous soils make it possible to select comparative measurement stations; (ii) agricultural practices, moderate to high slopes, and climate characteristics are favorable to pesticide transfer to surface water; and (iii) the wide range of pesticide substances used for vine protection allows exploration of different physicochemical properties and associated pesticide fate. The tested chemical tools were passive samplers as, for example, Silicone Rods (SR) dedicated to hydrophobic to moderately hydrophilic compounds. In total, 28 pesticides were analyzed as well as potential confusing parameters s, nutrients, temperature). In parallel, the biological approach consisted in an in situ study of a range of selected impacts on microbial and invertebrate communities. As an example, the following were measured: (i) leaf litter decomposition, which is mediated by the combined action of natural microbial and invertebrate communities; (ii) fungal biomass within leaf-associated natural microbial communities; (iii) alimentation and acetylcholine esterase inhibition in standardized caged Gammares (Gammarus fossarum). The tools have been applied during June 2014 and June 2015 (corresponding to a period of pesticide application on vineyard) in the Ardi\u00e8res River at three measurement stations from upstream to downstream. The results . Landscape organization can modulate the resistance and resilience of ecosystems to the impacts of anthropogenic disturbances such as soil pollution, particularly by pesticides. Moreover, landscape elements influence the distribution of contaminants, exposure of living organisms, ecological processes related to ecosystem services, and therefore agroecosystem functioning. For instance, the presence of hedges may limit pesticide transfer or a high percentage of organic farming or grassland in a landscape may buffer the negative effect of pesticides. Unraveling the respective influence of landscape organization and pesticide inputs can thus provide recommendations for risk assessors and suggest spatial arrangement that best support multifunctional and resilient agricultural landscapes. However, assessing the pesticide transfer and risk at landscape scale is challenging and requires dedicated infrastructures. The extensive knowledge of land use in the LTSER Zone Atelier Plaine & Val de S\u00e8vre (ZA PVS) as well as available data on farming practices in the area allows investigating how local farming practices and landscape organization affect biodiversity, ecosystem functions, and pesticide transfer. Three projects address this issue in the LTSER ZA PVS: BIOSERV , funded by INRA metaprogram ECOSERV, test this hypothesis that the flows of goods and services that organic farming will benefit crop production and farmers profitability both in organic farming and conventional farming fields through higher regulation services; RESCAPE funded by French Biodiversity Agency on \u201cResistance and Pesticides\u201d research call, with the fees for diffuse pollution coming from the Ecophyto Plan; and PING funded by Metaprogramme SMaCH of INRA aims to assess the impact of landscape features (composition and configuration) and agricultural practices on pesticide transfers in soils and living organisms. All projects use an integrated and interdisciplinary approach. BIOSERV analyzes the effect of landscape composition and their spatial arrangement on biodiversity, key ecosystem services , and farmers\u2019 incomes. RESCAPE and PING establish quantitative links between agricultural management, the spatial distribution of pesticides and the effects of pesticides. The PING project also investigates the link between ecotoxicology and socioeconomy by analyzing the farmers\u2019 decision to use glyphosate and how, based on scientific results , their perception and use of glyphosate may change. In the three projects, several measurements are performed in arable fields (120 fields) and semi-natural elements such as soil sampling for physicochemical characterization and pesticide concentrations, biodiversity monitoring , and ecological functions . In RESCAPE and PING, the spatial distribution of pesticides in soils is also studied through the development of analytical methods (Daniele et al. Several sites already host research projects in the context of the chain pressure-exposure-impact applied to pesticides. The RECOTOX network offers the perspective to extend them and to address new issues. Examples of projects are presented hereafter:The initiative RECOTOX federates in natura sites that develop a common culture in spatial ecotoxicology in the context of the whole chain pressure-exposure-impact applied to pesticides. RECOTOX will provide an added value to existing research infrastructures for environmental research by launching transversal approaches at relevant socioecological system scales, by capitalizing their knowledge and expertise, and seeking complementarity in the fields of ecotoxicology, and to a lesser extent, in environmental toxicology. RECOTOX will generate proposal and partnership that can serve as a framework for project preparation addressed to funding agencies. Finally, RECOTOX is positioned as the French part of a European network to develop for the research on ecotoxicological effects of pesticides."}
+{"text": "Pancreatic cancer is one of the most aggressive malignancies, accounting for more than 45,750 deaths annually in the U.S. alone. The aggressive nature and late diagnosis of pancreatic cancer, coupled with the limitations of existing chemotherapy, present the pressing need for the development of novel therapeutic strategies. Recent reports have demonstrated a critical role of microRNAs (miRNAs) in the initiation, progression, and metastasis of cancer. Furthermore, aberrant expressions of miRNAs have often been associated with the cause and consequence of pancreatic cancer, emphasizing the possible use of miRNAs in the effective management of pancreatic cancer patients. In this review, we provide a brief overview of miRNA biogenesis and its role in fundamental cellular process and miRNA studies in pancreatic cancer patients and animal models. Subsequent sections narrate the role of miRNA in, (i) cell cycle and proliferation; (ii) apoptosis; (iii) invasions and metastasis; and (iv) various cellular signaling pathways. We also describe the role of miRNA\u2019s in pancreatic cancer; (i) diagnosis; (ii) prognosis and (iii) therapeutic intervention. Conclusion section describes the gist of review with future directions. Pancreatic cancer impinges profoundly on mankind and, is one of the most aggressive and fatal malignancies. Pancreatic cancer is the third leading cause of cancer-related deaths in the USA and is anticipated to take the second spot by 2020 ,2. In 20Despite enormous progress in the field of cancer research and treatment, the biomarkers for initiation and progression of pancreatic cancer are still not well-defined. Micro RNA (miRNA) might help to establish a better diagnostic tool for pancreatic cancer. Altered and aberrant expression of miRNA is a hallmark of several human malignancies . Recent In this review, we provide a brief account of the biogenesis of miRNA and its effects on cellular functions and miRNA related studies in pancreatic cancer patients and animal models. We also review existing literature on the role of miRNA in cell cycle and cell proliferation, apoptosis, invasion, metastasis, and cellular signaling pathways. We also explore the use of miRNA as diagnostic, prognostic and therapeutic targets in pancreatic cancer. Caenorhabditis elegans . Re. Re87]. Given the decisive role of miRNAs in various stages of pancreatic cancer, starting from its initiation to progression to metastasis; miRNAs are potential targets for the therapeutic interventions . miRNA-bA separate approach comprises of miRNA antagonists. These are single-stranded antisense oligonucleotides corresponding to target miRNA, synthesized chemically with specific modification to provide high stability, binding affinity, and protection from nucleases ,156. TheThe association of miRNAs with cancer and using these miRNAs as therapeutic targets provides new hope for the effective diagnosis and treatment of fatal pancreatic cancer. Novel data about the biogenesis, regulation, and functions of miRNAs is increasing at an exponential rate. The cardinal regulatory role of miRNAs in key biological processes such as cell survival and proliferation, invasion and metastasis, apoptosis, and drug responsiveness, highlights their potential as diagnostic, prognostic and therapeutic targets. Also, little is known about inter-cellular communication mediated by miRNAs in pancreatic cancer. Moreover, a single miRNA target several genes and a single gene may be targeted by multiple miRNAs resulting in the additive action of miRNAs in the course of the disease. The aberrant expression of miRNAs is strongly correlated with pancreatic cancer, and in at least some cases appears to play a causative role in the establishment and progression of the disease. Restoration of down-regulated tumor suppressor miRNAs and inhibition of up-regulated oncogenic miRNAs holds the enormous prospect for the development of novel effective anticancer therapies or diagnostics. While there has been tremendous progress in the field with ample ongoing progress, there remain some limitations that need to be addressed before employing miRNAs as a therapeutic target. One of the most serious limitations is the potential for off-target effects and levels of toxicity of these chemically modified miRNAs on the healthy cells of the patients. The specific delivery of therapeutics into the pancreatic cancer cells is another consideration. Nonetheless, the recently developed intravenous injections and nanoparticle associated delivery system have shown great promise. Thus far, the progress in the field of miRNAs is impressive, but there is a long way to go. Pancreatic cancer remains a leading cause of mortality but the new body of work on the function of miRNA in cancer provides hope for miRNA-based strategies for early diagnosis, improved prognosis, and better management of clinical systems."}
+{"text": "The natriuretic peptides (NPs) family includes a class of hormones and their receptors needed for the physiological control of cardiovascular functions. The discovery of NPs provided a fundamental contribution into our understanding of the physiological regulation of blood pressure, and of heart and kidney functions. NPs have also been implicated in the pathogenesis of several cardiovascular diseases (CVDs), including hypertension, atherosclerosis, heart failure, and stroke. A fine comprehension of the molecular mechanisms dependent from NPs and underlying the promotion of cardiovascular damage has contributed to improve our understanding of the molecular basis of all major CVDs. Finally, the opportunity to target NPs in order to develop new therapeutic tools for a better treatment of CVDs has been developed over the years. The current Special Issue of the Journal covers all major aspects of the molecular implications of NPs in physiology and pathology of the cardiovascular system, including NP-based therapeutic approaches. The natriuretic peptides (NPs) family includes a class of hormones and their receptors needed for the physiological control of cardiovascular functions. First, the discovery of NPs provided a fundamental contribution for the understanding of the physiological regulation of blood pressure (BP) and of cardiovascular and renal functions . SubsequAs a matter of fact, the NPs system has provided over time a continuous, attractive source of new knowledge and discoveries regarding the pathogenesis, diagnosis, prognosis, and therapy of CVDs. In particular, the opportunity to target NPs in order to design new therapeutic tools for a more effective treatment of CVDs has been developed, ultimately culminating in the introduction of a new class of drugs for the management of HF, the angiotensin receptor neprilysin inhibitor (ARNi) ,6. The continuous interest in this field of biomedical research is documented by accumulating data produced from several expert scientific groups. This issue of the Journal collects some original and review articles on the molecular and biomedical aspects concerning NPs, with a discussion of their current clinical and therapeutic applications. Nppa) or NPRA gene (Npr-1) led to hypertension and marked cardiac hypertrophy, the latter being independent from high blood pressure levels [Npr-1 led to salt-sensitive increases in BP whereas Npr-1 gene duplication lowered BP and protected against high dietary salt concentrations [Nppa, BNP gene (Nppb), and Npr-1 with cardiovascular disorders in humans [The cellular effects of NPs include the regulation of cell proliferation, angiogenesis, apoptosis, fibrosis, and inflammation . Their ae levels . In parte levels , the gentrations . The fintrations ,8. In fan humans ,8,9. Interestingly, NPs control the lipid metabolism through an anti-lipolytic effect . Of noteNppa, Nppb, CNP gene (Nppc), Npr-1, NPRC gene (Nprc), Corin, and Proprotein convertase subtilisin/kexin type 6 gene (PCSK6) are known contributors to hypertension development in experimental models as well as in humans through a decreased function of the system and of its impact on BP regulation [Nppa , that is frequently encountered in the general population , has shown functional deleterious properties that completely diverge from those of the wild type form, which makes this molecular variant a significant contributor to cardiovascular acute events such as stroke and myocardial infarction [Nppa variant (rs5068) is able to reduce the cardiometabolic risk by increasing the circulating ANP level and its beneficial cardiovascular and metabolic properties [Nppa variant (rs5063) was associated to reduced left ventricular mass in hypertension [Nppa support the existence of genetic predictors of cardiovascular risk that contribute to the individual risk profile (as part of the emerging field of predictive medicine).Both the hemodynamic and cellular effects of NPs explain the pathogenetic involvement of NPs in hypertension and related target organ damage. In particular, as discussed in this issue of the Journal, the comprehension of the fine molecular mechanisms underlying hypertension has been largely improved through the dissection of the molecular genetics of the NPs system . Nowadaygulation . Furtherfarction . On the operties . Furtherrtension . OverallNPs represent today well established and useful diagnostic biomarkers in HF, being of particular help for the differential diagnosis of dyspnea in the emergency room . The incHF is often associated to atrial fibrillation (AF), a condition that on its own presents with higher BNP levels ,33. ThisIn the context of HF, a renal dysfunction often develops . As reviewed in this issue by Okamoto R. et al. , BNP is The strength of the relevance of NPs in HF is reinforced by an interesting review article of this Special issue. Specifically, the article by Cao Z. et al. focuses on the role of NT-proBNP/BNP as valuable diagnostic biomarkers of cardiac dysfunction in deceased individuals . This orAn important component of the NPs system is represented by CNP, which acts through either the NPRB or NPRC receptors. CNP is mainly synthetized by endothelial cells and also by cardiomyocytes and fibroblasts. It circulates in the blood at very low amounts, offering a clear example of an autocrine/paracrine mediator within the cardiovascular system . The mosAmong the recent discoveries regarding the NPs system, the one that deserves particular attention is the potential involvement of NPRC signaling in the pathogenesis of pulmonary arterial hypertension . The artThe main therapeutic approaches to treat CVDs involving the NPs system are based on either the development of peptide analogs or the blockade of peptides catabolism ,4. In thAn overview of the strategies aimed at blocking the NPs catabolism through a NPRC blockade, and particularly through NEP inhibition, is presented by Volpe M. et al. . The appOverall, the comprehension of the multiple functional roles of NPs, gained over the last 35 years, makes this hormonal system an essential contributor to the maintenance of the cardiovascular health. On the other hand, a deeper understanding of the complex molecular mechanisms underlying the functionality of NPs has opened a new way to relevant therapeutic innovations. Future years, through the continuous efforts of several research groups, will certainly reveal more insights on this multifaceted cardiovascular hormonal system."}
+{"text": "An emerging component of mHealth is the use of tailored mobile applications (app) to facilitate self-management of chronic illnesses, including the mapping of social networks to assist adults living with chronic illnesses to help them be able to identify sources of social support. The purpose of this study is to describe a prototype app to support persons living with dementia (PLWD) in the community and their informal caregivers to map social networks and identify sources of emotional, instrumental, informational, and appraisal of social support. Adapting the Network Canvas open-source software and drawing upon a previously-developed mobile application for adults to self-manage chronic illnesses, we share the key specifications, including health care provider output, preliminary end user feedback, and the pilot protocol designed to test the feasibility. Findings illustrate the importance of leveraging social network data in novel ways to enhance self-management and well-being among PLWD and their caregivers"}
+{"text": "Diagnosis, that is, characterization of building materials and assessment of building materials' decay, as well as assessment of environmental loads;Assessment of compatibility and performance of conservation/restoration materials and interventions, both in lab and in situ on building scale;Monitoring of the structure after the application of the most appropriate materials and interventions, to assure sustainability.Protection of built heritage passes through three distinguished steps that involve the following:Scanning microscopy techniques are among the techniques that are used throughout the investigation of the aforementioned processes, and their applicability is increasingly gaining ground. In this framework, the input aspects of the scanning microscopy techniques in the field of built heritage protection are of high importance. The enhancement of our knowledge on the physicochemical and microstructural characteristics of historic and modern building materials and their degradation processes, as well as on the properties of the conservation and repair materials that we need to design in terms of compatibility and sustainability, is vital, and scanning microscopy techniques are key tools towards this direction, with technological advances further increasing their effectiveness.A. Moropoulou et al. review the literature for the use of scanning microscopy techniques in the fields of building materials and cultural heritage, comparing these techniques with other analytical techniques widely used in these fields, regarding acquired information, sample requirements, and major limitations. They also summarize the main advantages and limitations of the most commonly used scanning microscopy techniques in the field of built cultural heritage through numerically comparing the research papers that report their use and findings in bibliography and demonstrate that scanning electron microscopy with energy-dispersive X-ray spectroscopy analysis (SEM-EDX) can be regarded now as a routine and a key role technique, whereas transmission electron microscopy (TEM) is progressively utilized. Distinctive results of SEM-EDX are presented regarding building material characterization, such as stone and mortars; mortar production technology; stone decay diagnosis, as far as it concerns the impact of pollution, salt crystallisation, and biodeterioration; and assessment of cleaning, consolidation, and protection treatments. Furthermore, characteristic TEM results are displayed, revealing the presence of nanostructures in historical mortars, shedding light on their properties and their specific production technology. The use of TEM in the evaluation of the development of advanced nanomaterials, designed in particular for conservation treatments, such as consolidation and antifouling action, is also recorded.M. Stefanidou and E. Pavlidou investigated the role of SEM-EDX in the characterization of historical mortars, not only in relation to their main components but also in relation to their microstructure. It is demonstrated that important information about production technology of mortars and their preservation state can be acquired by SEM utilization. Furthermore, new repair mortars are to be designed with corresponding and compatible properties to the historical ones. In such cases, SEM results about raw material suitability, effectiveness evaluation of nanoparticle addition, and self-healing processes of special mortar additives are presented.In the two following works of L. Ferrazza et al. and A. Gil-Torrano et al., the numerous ways that SEM-EDX can be coupled with several other techniques, in order to ensure the protection of built heritage, are demonstrated.In particular, L. Ferrazza et al. focus on the conservation study of the facade of the Arciprestal Church of Santa Mar\u00eda de Morella in Spain. A vast array of techniques such as ground penetration radar (GPR), X-ray fluorescence (XRF), optical microscopy (OM), X-ray diffraction (XRD), SEM-EDX, and Fourier transform infrared spectroscopy (FTIR) are used for building material characterization and decay diagnosis, while assessment of cleaning and consolidation treatments on architectural surfaces of both stones and polychromes is included. The multidisciplinary character of this work and the importance of SEM-EDX in investigating crusts, patina, and especially pigments and their substrates are highlighted.rd to 4th century AD) and the Caliphal era (10th to 11th century AD). The similarities and variances between the employed materials and technologies of the different eras' wall paintings are investigated through the combined use of OM, SEM-EDX, XRD and \u03bc-XRD, wavelength-dispersive X-ray fluorescence (WD-XRF), and FTIR. The secco technique is used for the manufacturing of both wall paintings under investigation, while the wall paintings of the Roman era present more preparatory layers in comparison to the Arabic ones. Furthermore, red earth and calcite are detected as red and white pigments in the case of Roman paintings, whereas red ochre and calcite are identified as red and white pigments in the case of Arabic paintings.Correspondingly, A. Gil-Torrano et al. investigate the archaeological site of Cercadilla in Cordoba, Spain, regarding the preservation state of wall paintings of the Roman era and heat resistance, whereas microstructure characteristics are examined by SEM-EDS.Last but not least, S. Nicolopoulos et al. demonstrate a combination of ADT and ASTAR orientation/phase mapping techniques in TEM to investigate various materials with emphasis on pigments used in different artefacts, such as amphoriskos, glass tesserae, and Mayan mural paintings. Nanocrystalline mapping of pigments is achieved using the abovementioned TEM electron crystallography techniques. Ancient composite materials are thus thoroughly investigated, since chemical and structural information is acquired at nanoscale. Through this work, multiple scaled impacts are evident regarding the ways of how technological evolution can significantly enhance our knowledge in several areas of interest for the protection of cultural heritage.The protection of built heritage is a vast and fascinating research field where many questions still have to be answered regarding the properties of building materials, as well as the weathering processes that govern their life cycle. Answering these questions will inspire scientists to pioneer in designing novel conservation/restoration and repair materials that will ensure structures' protection and sustainability.In this context, scanning microscopy techniques play a key role in establishing methodologies and protocols towards revealing the past and planning the future. Technological advances further evolve the capabilities and the applicability of scanning microscopy techniques contributing to the sustainable protection of built heritage.Antonia MoropoulouElisabetta ZendriPilar OrtizGeorge Fourlaris"}
+{"text": "The Health Resources and Services Administration recently announced a notice of funding opportunity (NOFO) for the Geriatrics Academic Career Award Program (GACA). The purpose of the GACA program is to support the career development of individual junior faculty in geriatrics as academic geriatrics specialists and to provide clinical training in geriatrics, including the training of interprofessional teams of health care professionals. The GACA program is a mentorship model where the awardee is guided through a faculty career development plan, with required project deliverables, over the course of four years. The GACA supported 222 junior faculty members between 1998 and 2006, when it was discontinued. This initial NOFO provides funding for up to 26 awardees in the schools of allopathic medicine, osteopathic medicine, nursing, social work, psychology, dentistry, pharmacy, and allied health. This presentation will provide an up-to-date overview of the program with awardee demographics and project deliverables."}
+{"text": "Cancer on the African continent is quickly becoming an overt public health crisis due to an aging population and changes in lifestyle. The World Health Organization (WHO) states that a national cancer-control programme should aim to reduce cancer incidence and mortality and improve quality of life of cancer patients, through a national cancer-control plan (NCCP) that is systematic, equitable and evidence-based. Despite this, only 11 countries in Africa have a current NCCP. Participants in a US National Cancer Institute-supported, multi-year, technical assistance programme for cancer-control planning noted three main opportunities to improve how plans are created and implemented: 1) mobilisation of resources and partners for plan implementation; 2) accurate surveillance data to promote better resourcing of NCCPs; and, 3) sustainable and innovative partnership models to strengthen capacity to implement NCCPs. Most countries in the region face similar challenges in the development and implementation of an NCCP, including inadequate human, technical, and financial resources. Collaborative partnerships increase access to evidence-based cancer-control planning tools, mentoring and technical assistance, and have the potential to bridge the capacity gap and catalyse better implementation of NCCPs. Challenges can be overcome by better leveraging these opportunities to address the gaps that inhibit cancer control in Africa. Cancer on the African continent is quickly becoming an overt public health crisis due to an aging population and changes in lifestyle, including increased tobacco and alcohol use, rising obesity and physical inactivity. Unchecked, the burden of cancer in low- and middle-income countries will increase by more than 60% by 2030 , plaguinThe World Health Organization (WHO) states that a national cancer-control programme should aim to reduce cancer incidence and mortality and improve quality of life of cancer patients, through a national cancer-control plan (NCCP) that is systematic, equitable and evidence-based . A comprEven with multiple calls for strengthened national cancer-control planning measures, a 2018 analysis of the International Cancer Control Partnership (ICCP) portal shows that a total of only 11 countries (20.1%) in the Africa region have a current NCCP . Given tBuilding on the US government\u2019s domestic engagement in comprehensive cancer-control planning , the US In order to understand the challenges and priorities in cancer-control planning for curriculum development purposes, CGH administered baseline surveys to participants of the 2017 ICCLF (response rate 73%) and 2018 ECHO (response rate 77%), prior to each programme's launch, via Google Forms. The most-often identified challenges and priorities can be seen in Participants identified resource and partner mobilisation for NCCP implementation as two of the leading challenges they face . DespiteAn additional barrier is the organisation of national cancer programmes within ministries of health (MoH). In most African countries, the structure is inconsistent, creating an obstacle to mobilise resources and partners for NCCP implementation. National cancer programmes are, at times, part of the NCD programme under the coordination of a cancer-control officer or an NCD programme officer , a standalone cancer-control programme, or one divided across MoH units .Unlike the global HIV/AIDS response, a centralised pool of financial and technical resources does not exist for cancer and other NCDs. Therefore, MoH technical officers must mobilise resources and engage non-governmental implementing partners as a crucial step for successful NCCP implementation. The suboptimal level of coordination of cancer prevention and control within most ministries of health in Africa means that agreement on priorities, which is necessary for partner and stakeholder engagement, is less efficient and thus, impacts funding for the NCCP.Opportunities to make progress in this critical area are emerging. The increasing number of health economists now working on NCDs can support governments in assessing the cost and affordability of interventions to prevent and control cancer and other NCDs . The WHOCancer Incidence in Five Continents (Volume XI), only seven population-based cancer registries from six African countries had sufficient data quality and capture [The collection of data to inform NCCP efforts was the top challenge identified by 2017 ICCLF participants . Robust capture for inclGovernments across Africa have an opportunity to prioritise and resource population-based cancer registries to enable ministries of health to develop, cost, resource, implement and evaluate NCCPs in a way that truly benefits populations. Nigeria is an example of where sustainable and long-standing cancer registries, coordinated under the Federal MoH, have provided national estimates of the increasing cancer burden which allowed decision-makers to subsequently inform policies and most recently, the National Cancer Control Strategy (2018\u20132022). The ability to prioritise which cancers to address will allow for strategic partner engagement toward effective implementation .A primary challenge for cancer-control planning in Africa, and perhaps the most commonly identified in the literature, is the lack of essential health system capacity and infrastructure needed to prevent, detect and treat cancer , 21. HumThere is growing momentum among medical schools and universities in Africa to develop specialised oncology-related diploma courses and fellowships , 23. WhiCancer-care-focused partnerships such as the Academic Model Providing Access to Healthcare in Eldoret, Kenya, Partners in Health in Butaro, Rwanda, and the Fred Hutchinson Cancer Research Center Partnership with the Uganda Cancer Institute, show how a long-standing commitment to collaboration and partnership , 28 can Lancet Oncology analysis of national cancer-control plans, led by the ICCP, WHO, and Union for International Cancer Control, reveals that the number of plans worldwide has increased and the focus is now on successful plan implementation. The authors cite examples from Africa where planning has led to action, both in cervical cancer screening and in population-based cancer registries [Finally, while this paper is focused on challenges specific to cancer-control in Africa, there are lessons to be learnt globally from similar challenges and solutions in other regions, where building research networks with a focus on implementation science questions to inform effective programming have propelled the effective implementation of national cancer-control plans . Additiogistries . These eReduction in mortality and morbidity from cancer are keys to the attainment of the WHO voluntary global target of 25% reduction in premature mortality from NCDs by 2025 as well as the Sustainable Development Goal target of a one-third reduction in premature mortality from NCDs by 2030. In order to achieve cancer-related global targets, a well-organised and resourced NCCP, guided by accurate data on the burden of cancer and related risk factors, is necessary. Most countries in the region face similar challenges in the development and implementation of an NCCP, including inadequate human, technical and financial resources. Collaborative partnerships increase access to evidence-based cancer-control planning tools, mentoring and technical assistance, and have the potential to bridge the capacity gap and catalyse better implementation of NCCPs. There is tremendous opportunity in the continued support of these kinds of partnerships for cancer-control programmes in Africa.The authors have no conflicts of interest to disclose.This project has been funded in whole or in part with US federal funds from the US National Cancer Institute, National Institutes of Health, and under Contract No. HHSN261200800001E. The content of this publication does not necessarily reflect the views or policies of the US Department of Health and Human Services or National Institutes of Health, nor does mention of trade names, commercial products, or organisations imply endorsement by the US government.KD wrote or co-wrote the introduction, background and methods, challenges, and opportunities sections, edited and revised the paper. MKC co-wrote the background and methods, challenges, opportunities, edited and revised the paper. PB wrote or co-wrote the conclusion and background, edited, and revised the paper. ELT edited and revised the paper."}
+{"text": "The linkages between ecosystem services and poverty alleviation, however, are complex and poorly understood. In many cases, gains in well-being have gone hand-in-hand with rising inequalities and increasing vulnerability of the more marginalised to environmental shocks and stresses. The Ecosystem Services for Poverty Alleviation interdisciplinary research programme aimed to work towards the Sustainable Development Goals2 by giving decision-makers and natural resource users the evidence they need to address the challenges of combining sustainable ecosystem management with poverty reduction. ESPA set out to:The 2005 Millennium Ecosystem Assessmentbuild a strong evidence base on how human use interacts with ecosystem services, and their dynamics and management;develop innovative, interdisciplinary research and methodologies, so decision-makers may predict socio-ecological responses to complex social and economic trends;get research into practice, by engaging with policymakers, practitioners and decision-makers;use international research partnerships to build research capacity around the global South.The scope of ESPA\u2019s research into different dimensions of ecosystem services, and the social and ecological implications of their management, are summarised in This collection highlights a series of ESPA-funded projects contributing original, interdisciplinary datasets and analytical approaches on social-ecological systems in Asia, Africa and Latin America. They cover ecosystems ranging from montane headwater catchments, through arid and semi-arid rangelands, mesic farmlands and wetlands, to coastal deltas, mangrove and island forests. This collection makes available to a wider scientific audience a set of rigorously compiled and carefully curated interdisciplinary datasets characterising interactions in these social-ecological systems. Each dataset offers considerable potential for further analysis both in its own right and in conjunction with new data, not least as baselines for future studies of the impacts of environmental change and interventions. The data descriptor papers presented here fall into two categories. The first focuses on drivers and outcomes of variability and change in the biophysical dimensions of key social-ecological systems, while the second documents the social implications of these changes.et al.3 addresses measurement of the biophysical features underpinning social-ecological systems, in order to inform land use planning and evaluate the impacts of environmental interventions. This paper presents hydrological measurements from multiple paired catchments, encompassing a wide range of ecosystem types and management systems across three major biomes of the Andean montane region and three countries . By comparing intervention and control sites, the study was able to attribute observed effects to particular land use changes, restoration or water harvesting interventions. Datasets document rainfall, streamflow, and catchment shape, drainage, elevation, topography, soils, land cover and land use, including derived indices of change, under different management approaches, in water yield, water balance, streamflow magnitude, timing and flashiness; and ratio of baseflow to total flow. These data can be used to analyse the impact of human activities on watersheds, and to guide decision-making and governance aimed at reducing poverty.Decision-making and resource-use planning need data on changes in environment, resource availability and use, and on the drivers of those changes. The first paper by Ochoa-Tocachi 4, and free prior informed consent procedures adapted to prevailing literacy and local sensitivities.Beyond documenting the spatial and biophysical underpinnings of social-ecological systems, ESPA set out to establish an evidence base on how different groups of people are impacted by and respond to changes in their environment. The second, larger group of papers in this collection deals primarily with datasets reporting the lives, livelihoods and wellbeing of local communities in the face of environmental change or intervention. Stakeholder participation is an essential ingredient of this set of papers. All involve in-depth, two-way participation, with local users shaping the ways research questions are formulated and research undertaken, as well as volunteering the information recorded, and validating those data through their feedback. All employ ethics scrutiny of processes for working with local respondentset al.5 use an initial spatial land cover classification, comprising seven dominant production systems in the Ganges-Meghna-Brahmaputra delta: rainfed or irrigated farming, freshwater prawn or saltwater shrimp farming, and riverine, mangrove or offshore systems. Their household survey datasets then form the basis for analysis of multidimensional wellbeing associated with particular farming, fishing or other livelihoods and social-ecological systems.The different studies illustrate a range of approaches in terms of how to conceptualise relationships between local users and ecosystem services, in terms of research design, and in terms of practical purpose. Adams et al.6 apply a classic formal agricultural research experimental design to allow causal attribution. An initially purposive sample design to choose intervention and matching control sites is followed by random sampling stratified by location and involvement in the subsidy programme, drawing on formal lists of farmers. Where formal lists are not available, projects have to undertake baseline surveys to establish sample frames. These baseline datasets are themselves a rich source of possible investigation. For example, the data collected by Bluwstein et al.7 allow for analysis of the change in wealth rank through time for 13578 Tanzanian households, potentially contributing to our understanding of changing prosperity in rural Tanzania. Subsequent in-depth survey sample datasets include a couple of thousand households.In the other papers, household survey datasets are used to evaluate implications of specific ecosystem services interventions, including conservation agriculture and wildlife management areas, and are structured accordingly. In their study of subsidy payments in Malawi, Bell 7 or asset indices); natural resource use practices; livelihoods and income; perceptions of wellbeing and of its change, both through time and with respect to specific interventions; and in one case5 biomedical status ; perceptions of the interventions and of the benefits (or disadvantages) of involvement. Each of these papers represents a useful baseline dataset against which the implications of future environmental change in general and of current environmental interventions in particular can be measured.Different studies all follow similar principles of questionnaire, survey and interview design, building on mixed methods and using qualitative approaches to establish context, identify key issues and variables to be evaluated. Local language issues are addressed in different ways according to circumstances, but all rely on extensive discussion, training and role play to ensure data collectors share the same in-depth grasp of underlying principles, general thrust and specific meaning of individual terms used and questions asked. All consider quality control issues, with built in checks at various stages. The different studies capture different but overlapping sets of key variables according to their research question. All record household demographic composition and socioeconomic status .Publisher\u2019s note: Springer Nature remains neutral with regard to jurisdictional claims in published maps and institutional affiliations."}
+{"text": "Given a growing body of evidence for the developmental relevance of the perceived experience of aging and for the presence of interindividual variability in the way people experience aging, this symposium examines the determinants and outcomes of various subjective aging constructs. This session will explore the role of various psychological variables in explaining variability in subjective aging experiences. Consequences of various subjective aging concepts on cognitive functioning, emotional and physical well-being will also be discussed. The first two presentations examine Attitudes Toward Own Aging (ATOA). Kornadt, Siebert and Wahl will address the developmental co-dynamics of personality and ATOA across the second half of life. Siebert and Wahl will examine the associations of ATOA with subjective and objective cognitive functioning. The last two presentations focus on awareness of age-related change (AARC). Sabatini, Silarova, Collins, Martyr, Ballard, Anstey, Kim & Clare will present findings from a systematic-review and meta-analysis synthesizing and quantifying associations of awareness of age-related change (AARC) with emotional and physical well-being and cognitive functioning. Finally, Rothermund and de Paula Couto will show how both the experience of positive and/or negative changes (gains and losses) and the presence of positive and/or negative age stereotypes predict individual\u2019s attributions of change to age. This last presentation will also examine how together the presence of change and attribution of change to age predict developmental outcomes. The symposium will conclude with summarizing remarks from the discussant who suggests possible directions for future research on determinants and outcomes of perceived experience of aging."}
+{"text": "This narrative review aimed to identify and categorize the barriers and facilitators to the provision of brief intervention and behavioral change programs that target several risk behaviors among the Indigenous populations of Australia, Canada, and New Zealand.A systematic database search was conducted of six databases including PubMeD, Embase, CINAHL, HealthStar, PsycINFO, and Web of Science. Thematic analysis was utilized to analyze qualitative data extracted from the included studies, and a narrative approach was employed to synthesize the common themes that\u00a0emerged. The quality of studies was assessed in accordance with the Joanna Briggs Institute\u2019s guidelines and using the software SUMARI \u2013 The System for the Unified Management, Assessment and Review of Information.Nine studies were included. The studies were classified at three intervention levels: (1) individual-based brief interventions, (2) family-based interventions, and (3) community-based-interventions. Across the studies, selection of the intervention level was associated with Indigenous priorities and preferences, and approaches with Indigenous collaboration were supported. Barriers and facilitators were grouped under four major categories representing the common themes: (1) characteristics of design, development, and delivery, (2) patient/provider relationship, (3) environmental factors, and (4) organizational capacity and workplace-related factors. Several sub-themes also emerged under the above-mentioned categories including level of intervention, Indigenous leadership and participation, cultural appropriateness, social and economic barriers, and design elements.To improve the effectiveness of multiple health behavior change interventions among Indigenous populations, collaborative approaches that target different intervention levels are beneficial. Further research to bridge the knowledge gap in this topic will help to improve the quality of preventive health strategies to achieve better outcomes at all levels, and will improve intervention implementation from development and delivery fidelity, to acceptability and sustainability. Historical commonalities in colonization, assimilation, and ongoing socio-economic disadvantages have made the Indigenous populations of Australia, Canada, and New Zealand more vulnerable compared to their non-Indigenous counterparts, and they experience higher rates of chronic disease risk factors , 2. FromOf significance, the clustering of such determinants tends to be more prominent in socioeconomically-disadvantaged groups, such as Indigenous populations, and the synergistic interaction of such risk factors has been shown to be responsible for detrimental health outcomes including elevated morbidity and mortality among these population groups , 9. As sThere is, indeed, growing evidence highlighting the effectiveness of multiple health behavior change (MHBC) interventions . Among tTherefore, identifying the barriers and enablers to the successful implementation of these beneficial preventive strategies in the three countries, sharing similarities in Indigenous history, health system governance, constitutional agreements, and recognition from the state or provincial governments , 15, shoThe primary objective of this narrative review was to identify the barriers and facilitators to implementing brief intervention and behavioral change programs that target several risk behaviors among the Indigenous populations of Australia, Canada, and New Zealand, and to portray the current state of knowledge on this topic In addition to the highlighted importance of such lifestyle behaviors in the prevention of chronic disease development, the major focus of this review on lifestyle risk factors was in line with the objective of the Queensland Health Aboriginal and Torres Strait Islander Brief Intervention Training Program (B.strong), developed by Menzies School of Health Research . B.stronPreferred Reporting Items for Systematic reviews and Meta-Analysis (PRISMA) guidelines.The review was undertaken in accordance with the With the assistance of a librarian, six electronic databases were searched: PubMed, Embase, CINAHL, HealthStar, PsycINFO, and Web of Science. The search consisted of keywords and subject headings, the details of which are included in an Additional\u00a0file\u00a0Conduct of the search across the six databases retrieved a total of 741 citations.n\u2009=\u20092). Studies were included if (1) they were published in peer-reviewed journals from 2007 to 2018; (2) they discussed at least one facilitator or barrier in terms of brief intervention implementations that addressed SNP risk behaviours; and (3) they included Indigenous peoples in Australia, Canada, or New Zealand. To ensure rigor and relevance, the selection of interventions was guided by the definition of brief intervention by Nilsen et al. where \u2018brief intervention\u2019 encompasses any preventive, patient-focused, and motivational counselling that is performed by healthcare professionals in short timespans, aimed at changing behavioral risk behaviours [A total of 75 peer-reviewed journal articles was selected following the initial abstract and title screening. An additional hand search of bibliographies of articles retrieved from the search was carried out to identify other relevant publications on the subject the study population was not exclusive to Indigenous peoples of any of the three countries; or (2) they did not present MHBC programs .The search identified a large gap in brief intervention studies in Canada and New Zealand, although the same definition of brief intervention is used in these countries. Following consultation with Indigenous health researchers in both Canada and New Zealand, two common explanatory themes emerged based on their expert opinion and on our thorough thematic analysis of the selected studies: (1) although many similar programs may run across countries with Indigenous peoples, there is a large gap in academia in terms of research and publication of peer-reviewed evaluations of such interventions; (2) brief intervention programs in Canada appear to be mostly focused on substance abuse and alcohol management programs.Thus, to include relevant findings from those countries, and to address the scarcity of such programs in terms of the type of intervention in Canada and New Zealand, the search also included studies that focused on community-based and/or family-based interventions that met the same inclusion criteria, if the components of the programs were similar to those for brief interventions. Importantly, this decision drew upon the findings of a study highlighting the effectiveness of community-level strategies in targeting SNP risk factors in comparison with individual-level programs among Indigenous populations .Overall, 22 articles met the criteria for full text review. A sensitive and comprehensive review was conducted of these articles by the authors to ensure their rigor and relevance in meeting our review criteria, and this yielded nine articles for the review Fig.\u00a0. StudiesThe quality of studies was appraised in accordance with the Joanna Briggs Institute (JBI) guidelines, and by utilizing the JBI System for the Unified Management, Assessment and Review of Information (SUMARI) .Thematic analysis was used to synthesize findings and a narrative approach was used to present findings in accordance with the JBI guidelines . To enhaTable\u00a0Studies were categorized by the intervention level reported on in the study. Based on the characteristics of the included studies, the three intervention levels were identified as (1) individually-based brief interventions, (2) family-based, and (3) community-based behavioral interventions which targeted more than one of the chronic disease risk factors of smoking, nutrition, and physical activity. The priorities and preferences of Indigenous populations with regard to MHBC strategies were also presented in a separate category as they could be applied to all three intervention levels while also providing insights into the analysis of the barriers and enablers.One study used a mixed-methods approach to evaluate the performance and organizational capacity of health services in delivering brief interventions on smoking, nutrition, alcohol, and physical activity (SNAP) risk factors across four Aboriginal and Torres Strait Islander medical services in Queensland . Study mThis study found significant inconsistencies and poor quality in the recording of SNAP risk factors and their assessment measures in medical charts . In addiAnother study reviewed brief intervention resource kits targeting SNAP risk factors for Indigenous Australians to assess the content and quality of such resources . The stuCanadian research found that family-based collaboration models were effective in improving the health of an individual within a group (a family) . This isIn New Zealand, a health promotion program called REPLACE was developed to improve healthy lifestyles of Maori populations. Hamerton et al. , presentThe approach recognized the large role small lifestyle changes could play in people\u2019s quality of life over time. Process and short-term outcome evaluation of the intervention showed successful changes at individual, family, and community levels. The evaluation method fostered a face-to-face approach among participants, stakeholders, and project coordinators, and qualitative data were collected over a two-year period by means of participant observation, surveys and interviews, holding focus groups, and monthly staff meeting reports . The majThe Vanguard study was a pilot study of a cohort of 160 Maori participants in the New Zealand Maori Community Health Worker (MCHW) intervention, Data collection was conducted both prior to and during the MCHW intervention. The major study was aimed at improving lifestyle risk factors for diabetes . The intn\u2009=\u2009160) showed a significant weight reduction for participants over the course of the intervention (189\u2009days), compared with baseline data. Several facilitators contributed to the high acceptability of this program among the Indigenous population. First, the intervention was promoted through media, cultural events, and by the majority of the community members. The major focus in intervention delivery was on building trust and respecting family and community relationships. The core of the intervention was based on the key \u2018message\u2019 approach - created to set small success points to further improve perceived control over multiple lifestyle changes. Also, the design of the study included determining barriers and solutions to facilitate such changes. The promotion of preferred types of physical activities (identified by the community) was another enabler for the observed success rates of the program. However, conflicts existed in terms of participants\u2019 dietary preferences (higher fat and protein than recommended in guidelines) and their macronutrient components [The results of the pilot study conducted on the initial study participants (hydrate) .Ngati and Healthy intervention in New Zealand was a community-led diabetes prevention healthy lifestyle intervention program aimed at modifying high risk behavioral factors in areas of physical activity and nutrition: promoting weight loss, increasing exercise and adoption of healthy eating habits over a period of 2\u2009years . The majA Canadian study evaluated the effectiveness of a school-based intervention (Actions Schools! BC) targeting physical activity and nutrition among Indigenous children and youth in three remote Indigenous communities of British Columbia (Canada) . EmployiHealthy Foods North (HFN) was a community-based, multi-institutional intervention to promote healthy lifestyles among the Indigenous populations of the Canadian Arctic (four interventions and two comparison groups in Nunavut and Northwest Territories) . This prA recent Australian cross-sectional study was conducted to identify the determinants of acceptance of MHBC programs for an Indigenous population in Australia. The study had three main objectives: (1) assessing readiness towards high risk lifestyle changes; (2) acceptability of types of MHBC models: synchronously, in a sequence, or separately; (3) preferences for types of support programs, and the socioeconomic determinants responsible for the preferred choices . A totalSurvey results showed that on the client\u2019s readiness to change their lifestyle health behaviors across all risk factors, smoking was the participants\u2019 number one choice for behavior change . Also, tThose who indicated willingness to change at least a single high-risk behavior had a preference for receiving healthcare practitioner help over other types of support, and, in particular, for improving nutrition and physical activity . ReceiviOverall, the findings presented from the reviewed studies highlight the major facilitators and barriers to the implementation of brief interventions that address more than one modifiable risk behavior for chronic disease. Following a thorough thematic analysis, and due to the presence of varying outcome measures for both the quantitative and qualitative data extracted from the studies, the synthesized findings were grouped into four major categories based on the common themes that emerged: (1) characteristics of design, development, and delivery; (2) patient/provider relationship; (3) environmental factors; and (4) organizational capacity and workplace-related factors. To ensure consistency and relevance, the discussion of each theme and sub-theme is supported by data synthesized from the primary studies and their corresponding interventions.To date, in targeting multiple lifestyle modifications, evidence has supported the superiority of behavioral and cognitive methods along with lifestyle counselling over other types of interventions . Some rePriorities and preferences of Indigenous peoples must also be taken into account when considering the target level for a health behavior change intervention. For example, a cross-sectional study that assessed priorities and preferences of Indigenous populations on multiple behavior change found that when Indigenous clients were surveyed about their preferences over the level of support, the majority preferred individual-level supports for SNP health behaviors over family or community level approaches .To analyze the evaluations of design and developmental characteristics of SNAP behavioral interventions among the Indigenous Australian communities, and to assess the interventions\u2019 effectiveness in improving such risk factors, Clifford et al. , conductInvolving communities in the design and planning as pre-implementation steps in developing interventions is a critical factor in ensuring successful delivery and uptake of health promotion programs among Indigenous populations . More spThe Ngati and Healthy intervention, a community-led project which was based on a community development approach and on the collaboration of community health workers and researchers, relied heavily on Indigenous participation and leadership in all phases of the project, including the design and development phase, delivery and implementation . The autHealth promotion programs that are designed and implemented based on Indigenous cultural values have demonstrated higher perceived value among these population groups in targeting behavior change . In addiIn the Vanguard study, the development of intervention constructs based on Maori cultural values, both from the past and the present, was a major contributing factor to the high rate of program acceptability by Maori individuals . FurtherThe quality of design components plays a critical role in enhancing successful implementation . Based oAllocating enough time in primary care visits for health staff to build a relationship with clients can facilitate the delivery of lifestyle brief interventions, and can enhance the assessment of chronic disease risk factors . Both reIn the review of five Canadian community-based interventions for Aboriginal populations including First Nations, Inuits, and Metis, there was no evidence of improved healthy weight outcomes . AlthougIn the HFN project, the results of the study showed that the intervention had a higher impact on healthy eating and behaviors in higher socioeconomic status populations compared with their lower socioeconomic status counterparts . The autIn assessing the organizational capacity of health services to deliver brief interventions for chronic disease risk factors to Indigenous Australians, Panaretto et al. identified several enablers and barriers to the successful delivery of health messages . EnablerOverall, these authors suggest that the barriers could be addressed to a reasonable extent through the development of assessment tools for modifiable risk factors, specifically nutrition and physical activity, along with appropriate training of staff in the delivery of the most recent state of knowledge that is evidence-based on SNAP risk factors, and by adding Adult Health Checks into the routine delivery of care.A process evaluation found that barriers to the implementation of Actions schools! BC included high staff turnover, limited staff knowledge of healthy lifestyle behaviors, and minimal variation in choices. However, the ease of implementation and participant support were potential facilitators of such programs .Despite employing a thorough and systematically-based method in searching databases, it is possible that this review may not have located all relevant Indigenous health promotion brief interventions from Australia, Canada, and New Zealand. The main purpose of this review was to identify the barriers and facilitators to the implementation of brief interventions that target MHBC in areas of smoking, nutrition, and physical activity among the Indigenous populations of Australia, Canada, and New Zealand. Unfortunately, varying outcome measures in behavioral interventions across the different countries limited any higher level or meta-comparison of such interventions. The level of the intervention also varied across different studies, largely due to the inclusion of community- and family-based interventions in addition to behavioral brief interventions.We note that the specific inclusion criteria employed in this review made the limited pool of studies narrower. Firstly, there was a gap in the literature with regards to Indigenous-specific behavioral interventions. Secondly, the fact that the review looked for interventions that targeted multiple risk factors contributed significantly to the narrow body of literature. Thirdly, no brief intervention study targeting nutrition and physical activity was identified in either Canada or New Zealand (to the knowledge of the authors and the experts contacted). All retrieved brief intervention studies in Canada and New Zealand related to addressing substance abuse and addiction . Lastly, the exclusion of grey literature may have significantly limited the retrieved results since many evaluations of health promotion programs and projects are not published in the peer-reviewed literature. This was a common theme suggested by Indigenous health experts contacted throughout the review.In conducting this research, we found a significant gap in the literature for systematic reviews analyzing multiple health behavior change interventions among vulnerable populations. The findings of this review make a contribution to the evidence relating to Indigenous populations in Australia, New Zealand and Canada. Further research is required to evaluate the effectiveness of brief and behavioral interventions for multiple health behavior change for Indigenous populations at different intervention levels. Findings of such research will assist in the development of recommendations and guidelines to inform policy changes and program funding support, and should facilitate the process of effective brief intervention program design, implementation, delivery, and evaluation.This review aimed to identify the enablers and barriers to the implementation of MHBC interventions among Indigenous populations drawing upon evidence from three countries. The high prevalence of chronic disease risk behaviors among the Indigenous populations has stemmed from the interplay of numerous underlying causes including the unique histories of population groups and the range of ecological, cultural and social determinants of health with different levels of impact. These underlying factors can also directly and indirectly hinder the effectiveness of MHBC interventions. Thus, understanding the interrelationships of barriers and facilitators along with their myriad drivers is essential in developing successful preventive health programs. Also, it is important to recognize that, to target successful and sustainable behavior changes in chronic disease risk factors, single-level approaches and interventions are not sufficient. Importantly, based on the findings from this systematically conducted narrative review, MHBC interventions targeting different intervention levels should be optimized by promoting authentic and effective collaboration of different health and educational sectors, organizations, and community members, with a strong emphasis on Indigenous participation and leadership at all stages of program development and implementation. Adding community-based interventions to target chronic disease risk behaviors could improve the outcome and complement the use of individual-based MHBC brief interventions among Indigenous Australian populations . Lastly,Additional file 1. Search Subject Headings and Term Harvesting Table.Additional file 2. PRISMA 2009 Checklist."}
+{"text": "In its 2017 report on the status of tuberculosis in the world, the World Health Organization (WHO) estimated that tuberculosis causes about 1.7 million deaths each year, making it the single leading infectious cause of death [A core mandate of WHO is the development of evidence-based policy for public health interventions . The latClinical Infectious Diseases features a series of papers prompted by the scientific debate in the 2017 WHO expert consultation. The authors explore critical issues of uncertainty in tuberculosis therapeutics, some of them of long-standing. Most of the papers refer to findings from hollow fibre infection models (HFIM), which are increasingly employed to investigate the anti-tuberculosis properties of substances at the preclinical stage to complement the more-conventional tools applied to determine drug/regimen efficacy and safety [WHO convened a technical consultation in Geneva in April 2017 to review the latest data on the pharmacology of those tuberculosis medicines used in MDR-TB regimens . The disThis Supplement includes a set of articles coordinated by the University Medical Center Groningen that review the literature on PK/PD data for mainstay components of second-line MDR-TB regimens. These systematic reviews formed part of the preparation for the WHO consultation in 2017, and provide a useful update on the PK/PD parameters that are best correlated with the performance of amikacin, linezolid, and cycloserine .The other papers analyze data from new or completed studies, often employing novel approaches. In 2 separate articles, Deshpande et al and SrivThe exciting new findings in tuberculosis pharmacology and the novel investigative techniques reported in this Supplement are relevant to the continued development of new medicines, both in pre-clinical and clinical studies. Artificial intelligence could help identify complementary medicinal combinations and dosages to optimize the composition of candidate regimens ahead of the start of trials. In clinical practice, PK/PD knowledge is likely to bring the prospect of precision medicine in public health within closer reach of more patients worldwide, especially if linked to drug discoveries and concurrent advances in diagnostics, therapeutics, and digital technologies. The optimization of drug dosages and treatment schedules for drug-resistant tuberculosis require more scientific debate, along with fresh data of better quality from patients receiving treatment. Therapeutic drug monitoring (TDM) may be relevant to MDR-TB care, due to the narrow therapeutic index and inter-patient variation in PK/PD of fluoroquinolones, injectable agents, linezolid, and other second-line tuberculosis medicines. TDM may become more feasible in resource-limited settings with the addition of advancements in specimen transportation and analytic methods based on mass spectrometry. However, the added value of different TDM strategies on clinical outcomes still needs to be confirmed and quantified.The conclusions made in the papers of this Supplement do not represent WHO recommendations on the use of the medicines, or an endorsement of experimental medicines, regimens, dosages, or new methods of diagnosis. Nevertheless, in the absence of a more robust evidence base from trials and other studies, these PK/PD updates may help researchers to optimize their efforts and inform health care practitioners to assist them in making better decisions in the clinical management of tuberculosis. This information also serves as a valuable background to the ongoing updates being made by WHO to its MDR/RR-TB treatment policies ."}
+{"text": "Background: The expert panel that conducted the Assessing Surgical Site Infection Surveillance Technologies (ASSIST) project elaborates on the key findings of the health technologies assessment (HTA) report in a series of articles addressing topics from workflow challenges to implementation strategies to new big data analytics tailored to incorporate serial patient-generated health data (PGHD).Conclusion: By reporting on the methodology, with an emphasis on stakeholder engagement, the ASSIST investigators provide the basis for a future deep dive into the next phase of PGHD integration into surgical site infection (SSI) surveillance. Star Trek are now second nature to digital natives, who bring their own devices to healthcare with the expectation that providers will review patient-generated health data (PGHD) and engage via new communication channels. It is now possible to offer expanded, personalized care to patients after surgery, using new data streams and data types via mobile devices to facilitate remote patient monitoring. One of the most compelling use cases for post-operative mobile health tracking is the triage of surgical sites for evidence of surgical site infection (SSI) through review of serial incision photography and symptom reporting.The adoption of smartphones, texting, and patient portals for post-operative care coordination present both challenges and opportunities to the surgeon. Real-time communications that were once the fantasy of Dick Tracy and Although the current standard of care for SSI diagnosis requires in-person physical examination of the surgical site, patient-generated photographs are increasingly submitted to and reviewed by surgical providers via e-mail, text messaging, and electronic health record-based patient portals. Although the current use of telemedicine for post-discharge surgical care has been reviewed systematically, the specific use of mHealth for SSI surveillance and the process of work associated with this activity is highly variable and generally unacknowledged in the medical literature. In September 2017, the Safety and Healthcare Epidemiology Prevention Research Development (SHEPheRD) program [www.cirg.washington.edu/assistPSAGreport [In year one, the ASSIST investigators completed a literature review and a landscape analysis of apps directed specifically at post-operative incision monitoring. Through this initial work, the group also developed a network of stakeholders and conducted key informant interviews to gain additional perspective on real-world use. In May 2018, the group hosted a one-day Patient-Generated Health Data Stakeholder Advisory Group workshop to seek feedback from key opinion leaders on the findings from the HTA process. A report from this workshop is available online at AGreport .Surgical Infections, the expert panel that conducted the ASSIST project elaborates on the key findings of the HTA report in a series of articles addressing topics from workflow challenges to implementation strategies to new big data analytics tailored to incorporate serial PGHD. Acknowledging the rapid development cycle used in design and deployment of mHealth apps, the ASSIST investigators concede that any report from a defined period of time can best be regarded as a biopsy, as the field continues to grow unabated. Even since the conclusion of the project, new clinical trials of mHealth apps for post-operative care have been presented [In this special issue of resented and publresented , and a cresented .The number of mHealth apps increases exponentially each year, and as new apps emerge, older ones may mature and expand or regress into the past with little usage or impact on patient care. Furthermore, some of the apps reviewed may never advance to commercialization, remaining research endeavors for their whole lifespan. But these orphan apps have value, in that the process of development, the features contained, and the implementation trials all frame lessons for future app design, integration and dissemination. Additionally, the data collected can serve as fuel to drive innovation in analytic methods and to incorporate PGHD, especially incision images, into the clinical and surveillance definition standards for SSI. Finally, by reporting on the methodology, with an emphasis on stakeholder engagement, the ASSIST investigators provide the basis for a future deep dive into the next phase of PGHD integration into SSI surveillance.Heather Evans, Medical University of South Carolina; William Lober, University of Washington; Danielle Lavallee, University of Washington; Sheri Chernetsky Tejedor, Emory University, Centers for Disease Control; E. Patchen Dellinger, University of Washington; Traci Hedrick, University of Virginia, Shuai Huang, University of Washington; Dan Pollock, Centers for Disease Control and Prevention; Aven Samareh, University of Washington; Robert G. Sawyer, Western Michigan University; John Semple, University of Toranto; Jyotirmay Sharma, Emory University; Elizabeth Wick, University of California San Francisco; Jenney Lee, University of Washington; Sarah Lawrence, University of Washington."}
+{"text": "Elder mistreatment (EM) and the magnitude of its relationship to anxiety may vary depending on definitional criteria. We leveraged data from the PINE Study, a study of 3,157 Chinese older adults in Chicago. EM was measured by 56 items on psychological, physical and sexual mistreatment, caregiver neglect and financial exploitation subtypes. Least restrictive, moderately restrictive, and most restrictive definitions of EM were constructed. Symptoms of anxiety were measured by the Hospital Anxiety and Depression Scale. Least restrictive , moderately restrictive , and most restrictive definitions of EM were all significantly associated with the likelihood of experiencing any anxiety symptoms. The magnitude of associations between EM and anxiety symptoms vary based on strictness of the EM definition. Future research should explore the potential causal relationships between EM and anxiety through longitudinal data."}
+{"text": "Cystic echinococcosis (CE) is endemic in many regions of Central Asia putting up almost 58% of population at risk including areas of Mongolia, Kazakhstan, Kyrgyzstan, Tajikistan, Turkmenistan, Uzbekistan, Afghanistan, Iran, Pakistan and western China . PakistaCystic Echinococcosis (CE) is responsible for over US$ 3 billion in expenses globally every year , and theIn Pakistan, lack of research data at molecular and epidemiological level of CE necessitates more focus on this area of research. To best of our knowledge, published data to date show 1611 CE cases in humans from different cities of Pakistan. These published reports are mostly based on data obtained from different areas of the country . There iLimited epidemiological data on CE impedes in devising effective management strategies for its control. Recently a useful ultra-sound-based study of latent CE and AE cases in rural parts of Romania, Bulgaria, and Turkey was reported which adds to the knowledge of global epidemiology of these diseases consisting of 13 countries was established in Chengdu, China in 2017 , but unfMost of the population in Pakistan lives in rural area with unhygienic life styles. If such increasing burden of the disease is left un-checked, it would pose greater threat to animal and public health. The international research cooperation is a needed act of time to combat and root out this silently evolving neglected tropical disease. The seriousness of issue needs to be addressed by international community to make a point for effective control strategies on regional and global level."}
+{"text": "Non-invasive detection of urothelial cancer through the analysis of driver gene mutations and aneuploidy. Published 20, March 2018The affiliation of Luis A Diaz was incorrect. The correct affiliation is: Department of Medicine, Memorial Sloan Kettering Cancer Center, New York, United States. In addition, Luis Diaz would like to declare the following for his competing interests statement:Luis A Diaz (LAD) is a member of the board of directors of Personal Genome Diagnostics (PGDx) and Jounce Therapeutics. LAD holds equity in PapGene, Personal Genome Diagnostics (PGDx) and Phoremost. He is a paid consultant for Merck, PGDx and Phoremost. LAD is an inventor of licensed intellectual property related to technology for ctDNA analyses and mismatch repair deficiency for diagnosis and therapy from Johns Hopkins University. These licenses and relationships are associated with equity or royalty payments to LAD. The terms of all these arrangements are being managed by Johns Hopkins and Memorial Sloan Kettering in accordance with their conflict of interest policies. In addition, in the past 5 years, LAD has participated as a paid consultant for one-time engagements with Caris, Lyndra, Genocea Biosciences, Illumina and Cell Design Labs.The article has been corrected accordingly."}
+{"text": "For more than 40 years, under the leadership of four editors and two publishers, The International Journal of Aging and Human Development (IJAHD) has featured multidisciplinary scholarship related to aging processes and older adults. With the publication of eight issues a year, with over 800 pages of scientific content, the IJAHD places emphasis upon psychological and social studies of aging and the aged. However, the Journal also publishes research that integrates observations from other disciplines that illuminate the \"human\" side of gerontology. A more recent focus includes midlife development, as well. About half (47%) of the publications in the IJAHD are from international colleagues. This presentation will discuss tips for both international and US-based scholars for ensuring timely reviews and positive decisions for manuscript submissions, including such areas as key words, suggesting unbiased reviewers, formatting, writing mechanics, clearly-articulated methods, and a sound theoretical basis."}
+{"text": "Furthermore, populations of African ancestry are substantially under-represented in global research of neuropsychiatric genetics.10 Training events, online courses, and workshops have provided unprecedented learning strategies for medical, bioinformatics, and public health education in LMICs. However, most of the existing training components are often developed without input from prospective trainees, not specifically focused on neuropsychiatric genomics, and convened over a restricted time period. Therefore, a tailored approach, wherein researchers from the targeted populations continuously participate in defining neuropsychiatric training needs, might add value to the established methods through ensuring ownership and effectiveness of research training programmes.To date, advancements in neuropsychiatric genetics research in sub-Saharan Africa have been limited by low capacity\u2014funding availability, appropriate infrastructure, and qualified researchers are under-represented in African institutions compared with counterparts in high-income countries (HICs). To improve representation of African institutions in neuropsychiatric genetics research, researchers and funding bodies should prioritise projects involving collaborations between institutions in HICs and LMICs that contain a capacity-building component. Initiatives such as Human Hereditary and Health in Africa (H3Africa), the International Brain Research Organization (IBRO), and the Wellcome Trust Developing Excellence in Leadership, Training, and Science Initiative (DELTAS) programme have been invaluable in building these collaborations and in providing genomics-related research training opportunities for researchers from African institutions.The Global Initiative for Neuropsychiatric Genetics Education in Research (GINGER) programme seeks to address these limitations. GINGER is a collaboration between the Stanley Center for Psychiatric Research at the Broad Institute of Massachusetts Institute of Technology and the Harvard T H Chan School of Public Health, and several academic institutions in sub-Saharan Africa . Comprising 17 investigators from these countries, GINGER aims to enhance the capacity of neuropsychiatric genetics research in Africa by training early-career researchers in genetics analysis, psychiatric phenotyping, epidemiology, bioinformatics, biostatistics, ethics, and manuscript and grant writing.A unique feature of the 2 year GINGER programme is the active participation of the fellows and African mentors in selection of programme topics on the basis of the individual and collective needs of the fellows and their host institutions. Intra-African networking and collaborations are strongly encouraged to expand the training and capacity-building of the first GINGER cohort and to contribute to innovative research driven by African investigators. Furthermore, the initiative seeks to increase the awareness of key stakeholders and policy makers about the burden of neuropsychiatric disorders in sub-Saharan Africa.The first cohort of GINGER fellows aims to establish an interdisciplinary group of African researchers, with the potential for sustainability beyond GINGER. Through continued conversations, skills building, and collaborative efforts between African institutions, this group will be equipped to produce first-class research equal to that produced in HICs. This Comment, therefore, serves as a call to action to develop and reaffirm the relationships needed to study neuropsychiatric genetics research in Africa. Improved characterisation of the prevalence and molecular causes of neuropsychiatric disorders in Africa might lead to development of population-specific and individual-specific treatment methods. These discoveries might ultimately improve global health-care strategies."}
+{"text": "As America ages, an increased interest has been placed on understanding the development and maintenance of autonomy in later life. This is of particular importance given the impact of autonomy on vitality, well-being, and mood within older adults . However, the research examining which aspects of autonomy directly impact successful aging remains underexplored. As such, the current study utilizes the Functional Autonomy Measurement System (SMAF) to better understand which facets of autonomy promote life satisfaction in older adults. Data included assessments of the Functional Autonomy Measurement System and data was derived from the Survey of Midlife in the US Database (MIDUS 3). Participants were primarily White/Caucasian (88.7%) and female (54.0%); with a mean age of 63.64 years (SD=11.35). A series of hierarchical multiple linear regressions revealed that higher levels of Mental Functions predicted increased life satisfaction scores in models adjusted for age, sex, race, marital status, and education and that higher levels of Communication , Activities of Daily Living , Mobility , and Instrumental Activities of Daily Living also predicted increases in life satisfaction scores but to a lesser extent. The present findings suggest that higher levels of autonomy, both physically and mentally, result in higher satisfaction with life; with perceptions of cognitive independence producing the highest levels. Implications of the current findings include increased understanding of the multifaceted nature of autonomy, and provision of recommendations which could increase autonomous behavior in later life, thus increase life satisfaction and promote successful aging."}
+{"text": "Researchers, practitioners and policymakers are daily confronted with multiple and competing situations regarding vulnerable older adults and the complex issues that they face in all aspects of their lives. Challenges can arise in the provision of social services, dispensing justice, conducting research, or addressing legal issues. The purpose of this symposium is to discuss dilemmas that vulnerable older adults and concerned others face by elucidating current and future challenges facing this population, particularly in the realms of compromised health (cognitive impairment); effective status (gender); care arrangements (home and community-based services); and abuse, neglect, and exploitation. Teaster and Anetzberger discuss relevant ethical theories and principles as well as a definition of vulnerability. Santos and Nichols-Hadeed report on ethical issues embedded in vulnerable elders\u2019 cognitive status. Bowland and Halaas highlight the intersection of ethics, gender and vulnerable elders. Niles-Yokum and Beaumaster discuss the nexus of ethics and the provision of home and community based services for vulnerable older adults. Heisler considers vulnerabilities of older adults and ethical challenges when addressing elder abuse. Throughout the papers, we weave the ethical principles of autonomy, beneficence, nonmaleficence, and justice."}
+{"text": "Countries in East Asia have the largest aging population in the world. The consequences of aging largely depend on whether it is accompanied by a healthy, active, and high-quality life. This symposium aims to gain a better understanding of aging support and determinants of health in the contexts of two major East Asian countries - China and Japan. We will present new research using data from the Fukui Longitudinal Caregiver Study (FLCS) in Japan, and two most important aging surveys in China \u2013 the China Health and Retirement Longitudinal Study (CHARLS) and the Chinese Longitudinal Healthy Longevity Survey (CLHLS), addressing critical topics including retirement, family care, social mobility, and mortality. Song and Smith investigate the impact of hukou change on mental health in later life. Zang examines the effect of a man\u2019s retirement on his wife\u2019s mental and physical health in China. Zhang et al. explore the determinants of mortality in China by conducting a comprehensive analysis of life-course conditions, community characteristics, biological and physical functioning, and disease burden. Zeng et al. compare demographic, socioeconomic, behavioral characteristics and health phenotypes of centenarians in China and Italy. Wakui et al. focus on the emergence of compound caregiving and the relationship of caregiving status to burden, depression, and social support in Japan. The cross-national comparisons will be informative regarding aging in various contexts. We will discuss the potential for further investigations using population-based aging data from different countries."}
+{"text": "This thematic issue on advanced simulation tools applied to materials development and design predictions gathers selected extended papers related to power generation systems, presented at the XIX International Colloquium on Mechanical Fatigue of Metals (ICMFM XIX) organized at University of Porto, Portugal, in 2018. Guest editors express special thanks to all contributors for the success of this special issue\u2014authors, reviewers, and journal staff. Fatigue damage represents one of the most important degradation phenomena which structural materials are subjected to in normal industrial operation, which may finally result in a sudden and unexpected failure/fracture. Since metal alloys are still the most used materials for the design of the majority of components and structures intended to carry out the highest service loads, the study of the different aspects of metals fatigue still attracts the permanent attention of scientists, engineers, and designers.The first International Colloquium on Mechanical Fatigue of Metals (ICMFM) was organized in Brno, Czech Republic in 1968. Afterwards, regular Colloquia on Mechanical Fatigue of Metals started in 1972 also in Brno and were originally limited to participants from the countries of the former \u201cEastern Block\u201d. They continued until the 12th Colloquium in 1994 at Miskolc, Hungary, every two years. After a break twelve years long, the Colloquia restarted in 2006 at Ternopil, Ukraine, followed by the ones in 2008 , 2010 , 2012 , 2014 ,4. The XThis special issue approaches the thematic about the limits of the current generation of materials, which are continuously being reached according to the frontier of hostile environments, whether in the aerospace, nuclear, or petrochemistry industry, or in the design of gas turbines where efficiency of energy production and transformation demands increased temperatures and pressures . At the -Environmental assisted fatigue;-Multi-damage/degradation;-Multi-scale modeling and simulation;-Micromechanics of fracture;-Material defects evolution;-Interactions of extreme environments;-Microstructure-based modeling and simulation;-Fracture in extreme environments;-Probabilistic physics of failure modeling and simulation;-Probabilistic optimization;-Advanced testing and simulation;-Life prediction and extension;-Stochastic degradation modeling and analysis;-Low- and high-cycle fatigue;-Artificial intelligence methods.This issue collects selected papers from ICMFM XIX related This section addresses in brief the scientific papers published in this thematic issue on advanced analytical and numerical simulation approaches applied to materials development and design predictions about power generation systems.Zhang\u2019s group from the Harbin University of Science and Technology, Fudan University and Northwestern Polytechnical University (China) developed a fuzzy multi-extremum response surface method (FMERSM) for the comprehensive probabilistic optimization of multi-failure/multi-component structures, where the probabilistic fatigue/creep coupling optimization of turbine bladed disks was implemented\u2014the rotor speed, temperature, and density as optimization parameters, and the creep stress, creep strain, fatigue damage, and creep damage as optimization objectives .Duda, Pach, and Lesiuk presenteKotch et al. from theLiu et al. suggesteOther study related to the influence of thermal\u2013structural coupling on the blisk low-cycle fatigue life reliability analysis was introduced by Zhang et al. , where tNormally, fatigue crack growth relations are usually presented by using a linear-elastic stress intensity factor range, \u0394K. Lesiuk , from th2O, and PF5 adsorbed on Cu(111) and the geometric parameters of the admolecules were confirmed after structure optimization [Chen et al. group from the Changsha University of Science and Technology and Guangxi University (China) presented a scientific work entitled by first-principles study on the adsorption and dissociation of Impurities on Copper Current Collector in Electrolyte for Lithium-Ion Batteries, where the stable configurations of HF, Hmization .Luo et al. research team applied an innovative surface technology, laser shock peening (LSP), to the dual-phase TC11 titanium alloy to fabricate an amorphous and nanocrystalline surface layer at room temperature, for the ultrahigh strain-rate plastic deformation .Xie et al. have preFinally, a Polish\u2013Portuguese team presenteGuest Editors for this thematic issue are pleased with the final result of the published papers and hope that these scientific works can be useful to researchers, engineers, designers, and other colleagues involved in different thematic aspects of the advanced analytical and numerical simulation approaches applied to materials development and design predictions about power generation systems.Additionally, the Guest Editors would like to express gratitude to all authors for their contributions and to all reviewers for their generous work that is fundamental in the dissemination of the scientific finding.Finally, the Guest Editors would also like to express special thanks to the Editorial Board of Materials international journal for help, support, and patience and for their exceptional contributions during this time."}
+{"text": "The NIA/NCI ASPREE (ASPirin in Reducing Events in the Elderly) Study was a landmark RCT of 19,114 healthy adults aged 70 (whites) and 65 (US minorities) in Australia and the US that demonstrated lack of effect of low dose aspirin (LDA:100 mg/d) on the novel primary end point of Disability- Free Survival (life free of disability and dementia) over a mean treatment of 4.7 years. Surprisingly, LDA was associated with a trend toward increased all cause mortality, driven by cancer deaths (results published NEJM September 2018). After the LDA intervention was halted in June 2017, ASPREE was extended as an observational cohort follow-on study, ASPREE-XT, to measure potential delayed LDA effects on ASPREE outcomes. The ASPREE study primary results will be summarized, and the rationale for and performance of the novel DFS geriatric outcome discussed. New results of the analysis of dementia as a secondary outcome will also be presented . We will also examine the unexpected increased all-cause mortality attributed to cancer deaths, despite no significant difference between groups for all incident cancer, and effects of LDA on incident metastatic disease. The important implications of the ASPREE results for prescribing LDA for primary prevention in health elderly will be discussed, and the ASPREE-XT study design and progress described. Lastly, the breadth of the ASPREE sub-studies including the Biobank, Brain Imaging studies and Genomics, and opportunities to access the rich ASPREE data and collaborate with ASPREE investigators will be reviewed."}
+{"text": "Clock gene.Investigators from Children\u2019s National Medical Center, Wenzhou Medical University, Virginia Tech, University of Colorado, University of Virginia, Georgetown University, University of Maryland, and Brown University performed transcriptome analysis on human epileptogenic tissue and extended the investigation by creating and testing mouse lines with targeted genetic deletions of the Clock gene.Investigators from Children\u2019s National Medical Center, Wenzhou Medical University, Virginia Tech, University of Colorado, University of Virginia, Georgetown University, University of Maryland, and Brown University performed transcriptome analysis on human epileptogenic tissue and extended the investigation by creating and testing mouse lines with targeted genetic deletions of the Bmal1) had been previously shown to alter seizure threshold in mice, the authors of this article evaluated the expression of the Clock gene in brain tissue from patients with intractable epilepsy. They found decreased CLOCK protein in epileptogenic tissue as compared to control tissue. Next, they generated mouse lines with deletion of Clock in cortical excitatory neurons and found that these mice showed diminished seizure threshold and their excitatory neurons exhibited spontaneous epileptiform discharges. The authors also noticed that flox/floxEmx-Cre;Clock mice have defects in dendritic spines similar to spine defects seen in human epileptogenic tissue and that neurons from both the mutant mice and human tissue show decreased spontaneous inhibitory post-synaptic currents.Because one of the genes that make up the molecular mechanism of the circadian clock .If the loss of The author(s) have declared that no competing interests exist."}
+{"text": "PageBreak11th European Congress of Entomology. Maurizio Biondi and Michael Schmitt co-organised the Naples meeting and worked together with Caroline S. Chaboo in the editorial committee for RoC8.Volume 8 of Research on Chrysomelidae (RoC8) presents again examples of the attractiveness and the diversity of Chrysomelidae (sensu lato) as subjects of scientific research. The seven papers included here cover taxonomy, ecology, faunistics as well as phylogenetics. Four of these papers are extended versions of talks presented to the Third European Symposium on the Chrysomelidae, held on 5 July, 2018, in Naples, Italy within the frame of the As with the previous RoC volumes, the team at Pensoft Publishers , especially Yordanka Banalieva, did a wonderful job and made the co-operation of editors and publishers a relaxed and rewarding experience. The editors thank our counterparts at Pensoft for this harmonious collaboration. The editors also thank all authors who submitted their high-quality manuscripts and so made this volume another important contribution towards the science of leaf and seed beetles.th International Symposium in Helsinki (Finland) in 2020 and the 4th European Symposium on Crete (Greece) in 2022. The proceedings of these symposia along with submitted papers on Chrysomelidae sensu lato will be published in subsequent volumes of Research on Chrysomelidae, as special issues of ZooKeys.The series of symposia on Chrysomelidae will continue with the 10Michael Schmitt, Caroline S. Chaboo, Maurizio Biondi"}
+{"text": "The number of males diagnosed with prostate cancer (PCa) is increasing all over the world . Most paGenerally, well-differentiated PCa cells are androgen-dependent, i.e., androgen receptor (AR) signaling regulates cell cycle and differentiation. Loss of AR signaling after ADT triggers androgen-independent outgrowth, generating poorly differentiated, uncontrollable PCa cells . Once PCDepartments of Nephro-Urologic Surgery and Andrology (Professor Emeritus Yoshiki Sugimura) and Oncologic Pathology (Professor Emeritus Taizo Shiraishi), Mie University Graduate School of Medicine, organized the semi-closed symposium on Biology of Prostate Gland Ise-Shima. This symposium was started in 2002 and was held every four years in 2006, 2010, 2014, and 2018 without any financial support from pharmaceutical companies and chemical industries. Each year, the symposium was attended by 40\u201350 Japanese investigators with expertise and interest in biology of the prostate gland and PCa. The goal of this symposium was to discuss the biological mechanism of the development and progression of prostatic proliferative diseases such as benign prostatic hyperplasia (BPH) and PCa. Several major topic areas were discussed, e.g., the pathophysiology of BPH, the tumor microenvironment of PCa, AR signaling in PCa progression, and the development of PCa detection and diagnosis. This Special Issue includes the major topics discussed at the symposium in 2018.In this Special Issue, we focused on cytobiology of human PCa cells and its clinical applications to develop a major step towards personalized medicine matched to the individual needs of patients with early-stage and advanced PCa and CRPC. We hope that this Special Issue attracts a lot of attention for readers with expertise and interest in the cytobiology of human PCa cells and its clinical applications."}
+{"text": "With the life expectancy in China continuing to increase, age-dependent chronic diseases are also likely to increase, as is the number of people with long-term care needs. This study evaluated the Long Term Care (LTC) needs of the Chinese older population and introduced related policy priorities. Using the 2014 and 2016 \u201cChina Longitudinal Aging Social Survey\u201d, this study assessed the physical functions of older adults by measuring their ability to perform Activities of Daily Living independently, compared changes within the two years, and explored other related indicators including, Instrumental Activities of Daily Living, major chronic disease, and mental health conditions. The study also discussed the development of long-term care policies in China and highlighted the priorities of these policies."}
+{"text": "Journal of Ovarian Research [Pursuant to a decree of the Tribunal of Catania, First Civil Section, LJ Pharma SRL obtained an ex Parte order. The Judge orders BioMed Central Ltd, in the person of the legal representative pro tempore to implement the remedy of the retraction notice on the study, signed by Isabella and Raffone, \u201cDoes Ovary need d-chiro-inositol?\u201d, published in 2012 in the specialized journal"}
+{"text": "Healthcare Technology Letters (HTL) journal dedicated to the joint edition of the 8th Medical Imaging and Augmented Reality (MIAR), the Augmented Environments for Computer-Assisted Interventions (AE-CAI), and the 6th Computer Assisted and Robotic Endoscopy (CARE) workshops. We are pleased to present the proceedings of this exciting scientific gathering held in conjunction with the Medical Image Computing and Computer-Assisted Interventions (MICCAI) conference on October 13th, 2019 at in Shenzhen, China.Welcome to this Special Issue of the IET's Over the past several years, the satellite workshops and tutorials at MICCAI have experienced increased popularity. This year's workshop brings together three communities that joined forces back in February 2019 in light of our common interests in image guidance, navigation and visualization for computer-assisted interventions. MIAR / AE-CAI / CARE 2019 is a joint venture between the prestigious Medical Imaging and Augmented Reality (MIAR) workshop series founded in 2002, the series of MICCAI-affiliated workshops on Augmented Environments for Computer-Assisted Interventions (AE-CAI) founded in 2006 and featured annually ever since, and the Computer Assisted and Robotic Endoscopy (CARE) workshop series, now on its 6th edition. This year's edition of the workshop received 30 submissions and reached over 60 registrants, not including the members of the organizing and program committees, making MIAR/AE-CAI/CARE one of the best received and best attended workshops with more than a decade-long standing tradition at MICCAI 2019.Computer-Assisted Interventions (CAI) is a field of research and practice, where medical interventions are supported by computer-based tools and methodologies. CAI systems enable more precise, safer, and less invasive interventional treatments by providing enhanced planning, real-time visualization, instrument guidance and navigation, as well as situation awareness and cognition. These research domains have been motivated by the development of medical imaging and its evolution from being primarily a diagnostic modality towards its use as a therapeutic and interventional aid, driven by the need to streamline the diagnostic and therapeutic processes via minimally invasive visualization and therapy. To promote this field of research, our workshop seeks to showcase papers that disseminate novel theoretical algorithms, technical implementations, and development and validation of integrated hardware and software systems in the context of their dedicated clinical applications.The objective of the joint workshop has been to attract scientific contributions that offer solutions to the technical problems in the area of augmented and virtual environments for computer-assisted and robotic interventions to provide a venue for dissemination of papers describing both complete systems and clinical applications. The workshop attracts researchers in computer science, biomedical engineering, computer vision, robotics, and medical imaging.The workshop featured a single track that consisted of long and short oral presentations showcasing original research engaged in the development of virtual and augmented environments for medical image visualization and image-guided interventions. To foster networking and discussion, we also provided all authors with the opportunity to present their work as a poster in addition to their oral presentation slot.Healthcare Technology Letters journal. This year's joint workshop received 30 manuscripts spanning a strong geographic representation from Europe, North America and Asia. The review process was rigorous and involved evaluation of each manuscript by three to five external reviewers. Following the first stage of review, sixteen manuscripts were further considered for major or minor revision, and resubmission. Authors were required to submit a response to reviewers and resubmit a revised manuscript that addressed all reviewers\u2019 critiques.All manuscripts submitted to the joint MIAR / AE-CAI / CARE 2019 were held up to journal standards, as the ultimate objective was to publish accepted work in this Special Issue of the IET's Once revised, all resubmitted manuscripts entered a second round of review conducted by the Program Committee, Workshop Chairs, as well as the HTL Managing Editor and Editor-in-Chief to ensure that all reviewers\u2019 critiques were properly addressed in the revised manuscripts and that the quality of the manuscript was appropriate for journal publication. All manuscript were then accepted for publication and forwarded to the journal for production and publication.In addition to the contributed papers, we were pleased to welcome Dr. Kensaku Mori \u2013 Professor in the Graduate School of Informatics and Director of the Information Technology Center at Nagoya University \u2013 who spoke on the development and use of artificial intelligence for endoscopic procedures.On behalf of the MIAR, AE-CAI and CARE 2019 Program and Organizing Committee, we would like to extend our sincere gratitude to all authors, presenters, and attendees for their scientific contribution, enthusiasm, and support. We also extend special thanks to all reviewers for providing detailed and timely critiques of the submitted manuscripts. We also acknowledge the support we received from the MICCAI 2019 Workshop Committee, and the HTL Editorial Office for their dedication to maintaining the high quality of the workshops, and for selecting outstanding manuscripts that fostered exciting discussions at the meeting.Northern Digital Inc. (NDI) for their continued support over the years, and we also welcome and thank Intuitive Surgical as a new sponsor for our workshop. Our sponsors\u2019 generous contributions have enabled us to recognize our authors for their much deserved dedication and scientific enthusiasm through several paper awards. A big thank you on behalf of all awardees and once again, sincere congratulations to all award winners! The award-winning papers appearing in this Special Issue are listed below!et al. Development and Face Validation of Ultrasound-Guided Renal Biopsy Virtual TrainerAndinet Enquobahrie et al. A Marker-less Real Time Intra-Operative Camera and Hand-Eye Calibration Procedure for Surgical Augmented RealityMegha Kalia et al. Determining blood flow direction from short neurovascular surgical microscope videosReid Vassallo et al. An Augmented Reality Mastectomy Surgical Planning Prototype using the HoloLensSara M. S. Amini et al. Learning colon centerline from optical colonoscopy, a new way to generate a map of the internal colon surfaceMohammad Ali Armin et al. A deep learning approach for automatic out-of-plane needle localization for semiautomatic ultrasound probe calibrationLeah Groves Last but not least, we acknowledge our generous sponsors. We thank We hope that you will enjoy reading this Special Issue and we look forward to your continuing support and participation in future editions of the MIAR, AE-CAI & CARE workshops. Their continued success demands our ongoing commitment.Cristian A. Linte, Rochester Institute of Technology, United StatesXiongbiao Luo, Xiamen Medical University, ChinaJonathan McLeod, Intuitive Surgical, United StatesZiv Yaniv, National Institutes of Health and TAJ Technologies, United StatesElvis C. S. Chen, Western University, CanadaMarta Kersten-Oertel, Concordia University, CanadaHongen Liao, Tsinghua University, ChinaYuan Zhang, University of Jinan"}
+{"text": "With an ever-increasing human population size, increasing human impacts on the natural environment, and a growing scarcity of freshwater resources, the study of freshwater systems has become one of the most critical areas of focus for environmental scientists. Never before has there been such a need for an integrated understanding of lakes, wetlands, and flowing waters. This understanding must cross the boundaries of traditional disciplines, reach a wide international audience, and strongly facilitate the linkage between scientific discovery and its real-world application."}
+{"text": "Journal of the Belgian Society of Radiology (JBSR), issued for the annual symposium of the BSR, again honors our PhD grant recipients. These highly graduated individuals present themselves and summarize their long-standing work and academic careers. In this article the summaries of their doctoral theses are available on the site of the JBSR: https://www.jbsr.be/.In 2017\u20132018, the Belgian Society of Radiology (BSR) continued its efforts to close the gaps of knowledge and disseminate new concepts in radiology. This year\u2019s special number of the Rodrigo Salgado was born on December 8, 1971, in Independencia (Santiago), Chile. After secondary school, he graduated in 1993 with a degree in computer engineering. That same year, he started his medical studies at the University of Antwerp, graduating in 2000 (cum laude). From 2000 to 2005 he fulfilled his radiology residency under supervision of Prof. Dr. A. De Schepper and Prof. Dr. P.M. Parizel at the Antwerp University Hospital.After his residency, he achieved a staff position in 2005 at the radiology department of the University Hospital Antwerp, chaired by Prof. Dr. P.M. Parizel. During the following decade, and continuing through the present, he specialized in non-invasive cardiovascular imaging using CT and MR. Currently, he\u2019s a consultant radiologist at the Antwerp University Hospital and a staff member at Heilig Hart Hospital Lier.Insights into Imaging and the International Journal of Cardiovascular Imaging. In the past, he has been a member of both the executive and scientific board of the BSR. He is the editor of the ESR publication on the International Day of Radiology 2018 (Cardiac Imaging), and congress president of the ESCR 2019 Congress which will be held in Antwerp, 24\u201326 October 2019. Dr Salgado presented and defended an original PhD thesis in 2017 at the Antwerp University entitled, \u2018Non-invasive Imaging for Cardiovascular Interventions: An Evolving Paradigm\u2019.Dr. Salgado is an active member of the Belgian Society of Radiology (BSR), the European Society of Radiology (ESR), and the European Society of Cardiovascular Radiology (ESCR). He is currently the elected president of the non-invasive cardiovascular imaging section of the BSR and member of the executive board of the ESCR, in which he is also chair of the Communication and New Media committee. He is member of the European Congress of Radiology (ECR) 2018, 2019, and 2020 scientific subcommittees for cardiac imaging, and serves on the scientific editorial board of Radiology, Investigative Radiology, European Radiology, European Heart Journal, JACC Cardiovascular Imaging, and the International Journal of Cardiovascular Imaging. He won the Young Investigator Award (YIA) at the Society of Cardiovascular Computed Tomography (SCCT) 2016 conference, Orlando, Florida (2016), with a presentation entitled \u2018CCTA Reproducibility of Coronary Plaque Volume: Sample Size Implications for Clinical Trials\u2019. He has been awarded an NIH and Research Foundation Flanders (FWO) grant for his research. The goal of his research is to use state-of-the-art cardiovascular magnetic resonance (CMR) and emerging cardiovascular computed tomography (CCT) technology to elucidate the relationship between epicardial coronary flow, microvascular dysfunction, clinical risk factors, and adverse left ventricular (LV) remodeling in patients with coronary artery disease (CAD). The unique tissue characterization capabilities of CMR allow for a non-invasive assessment of microvascular obstruction (MVO) and intramyocardial hemorrhage (IMH), two markers of microvascular damage. These CMR markers could be used to improve the short- and long-term prognostication of patients after myocardial infarction. Second, emerging spectral dual-energy and photon-counting CCT technology may allow for a more detailed and reproducible assessment of both epicardial blood flow and myocardial perfusion due to a substantial improvement in tissue characterization capabilities, lower image noise, and higher spatial resolution.Rolf Symons completed his medical degree at the KU Leuven in 2013 (highest distinction and felicitations of the jury). During his residency in radiology, he completed his PhD in 2018 in a joint project between the University Hospitals Leuven and the National Institutes of Health (NIH)/Johns Hopkins University (JHU) for a dissertation entitled \u2018The Role Of State-of-the-Art and Emerging Non-Invasive Imaging Techniques in Improving Risk Stratification in Patients with Coronary Artery Disease\u2019 with promotor Jan Bogaert, MD, PhD, and David A. Bluemke, MD, PhD. He authored 28 publications in international peer-reviewed journals and two book chapters with more than 30 presentations at international conferences, including RSNA 2016, 2017, and 2018. He is an active member of the Radiological Society of North America (RSNA), Society of Cardiovascular Computed Tomography (SCCT), and Belgian Society of Radiology (BSR) and a reviewer for numerous journals including"}
+{"text": "The Biological Resource Centre for the Environment BRC4Env is a network of Biological Resource Centres (BRCs) and collections whose leading objectives are to improve the visibility of genetic and biological resources maintained by its BRCs and collections and to facilitate their use by a large research community, from agriculture research to life sciences and environmental sciences. Its added value relies on sharing skills, harmonizing practices, triggering projects in comparative biology, and ultimately proposing a single-entry portal to facilitate access to documented samples, taking into account the partnership policies of research institutions as well as the legal frame which varies with the biological nature of resources. BRC4Env currently includes three BRCs: the Centre for Soil Genetic Resources of the platform GenoSol, in partnership with the European Conservatory of Soil Samples; the Egg Parasitoids Collection (EP-Coll); and the collection of ichthyological samples, Colisa. BRC4Env is also associated to several biological collections: microbial consortia , terrestrial arthropods, nematodes , and small mammals. The BRCs and collections of BRC4Env are involved in partnership with academic scientists, as well as private companies, in the fields of medicinal mining, biocontrol, sustainable agriculture, and additional sectors. Moreover, the staff of the BRCs is involved in many training courses for students from French licence degree to Ph.D, engineers, as well as ongoing training. The BRCs of AgroBRC-RARe are grouped in five pillars according to the origin of their resources: animal/crop/forestry/micro-organisms/environment. AgroBRC-RARe is registered on the French national roadmap for Research Infrastructures.Conserving and ensuring the availability of genetic and biological resources, particularly for the purposes of research, conservation of biodiversity, education, and economic valorization, are today major societal and scientific challenges, mainly faced by Biological Resource Centres (BRCs). In that context, AgroBRC is a network of BRCs and collections hosted by several French research institutions INRA , IRD (Institut de Recherche et D\u00e9veloppement), CIRAD , and CNRS , as well as associated to technical and higher education institutions. The leading objective of BRC4Env is to improve the French and European visibility of biological resources maintained by its BRCs and to facilitate their use by a large research community, from agriculture research to life sciences and environmental sciences. Its added value relies on sharing skills, harmonizing practices, triggering projects in comparative biology, and ultimately proposing a single-entry portal to facilitate access to documented samples, taking into account the partnership policies of research institutions as well as the legal frame which varies with the biological nature of resources .Since late 2015, the pillar \u201cBiological Resource Centre for the Environment\u201d BRC4Env . Currently, BRC4Env includes three BRCs: the Centre for Soil Genetic Resources of the platform GenoSol in partnership with the European Conservatory of Soils Samples, the Egg Parasitoids Collection EP-Coll, and the collection of ichthyological samples, Colisa. BRC4Env also comprises other biological collections including microbial consortia , terrestrial arthropods (insects and mites), nematodes , and small mammals Table . These Bhttps://www.brc4env.fr/Associated-platforms) in biochemistry: Biochem-Env in Versailles .The network develops interactions with analytical platforms for the characterization of samples of the platform GenoSol provides a national BRC for soils unique in Europe for the storage and conservation of genetic resources (DNA) and making them available to the scientific community. Most of the stored soil samples come from soil survey networks , environmental research observatories , long-term experimental sites (within French and European networks), and networks of farms. All these sites are involved in scientific questions concerning the environmental assessment of soil uses and management, as well as the impact of global changes. The platform GenoSol is a strategic tool to supply these sites in the long term and monitor soil biodiversity.The Centre for Soil Genetic Resources with the possibility to store soils from non-European countries granted by a quarantine agreement. The GenoSol platform has all the laboratory facilities needed for molecular biology studies in the service \u201cLaboratory of Molecular Analysis and Development.\u201d Indeed, the CSGR will provide DNA extracted from soil sample rather than soil itself, as soil quantity is limited (ca 50\u00a0g per sample). In consequence, the CSGR of GenoSol needs to routinize and automatize DNA extraction from sample in order to provide good-quality DNA.https://www.brc4env.fr/BRCs-and-collections/Environmental-matrices/CEES) hosted by the US1106 InfoSol in Orleans, in the frame of the French Network of Measurement of Soil Quality . The CEES stores an archive of French soils collected within the national soil survey and monitoring programs coordinated by the French Soils Scientific Interest Group (GIS Sol). This collective infrastructure is also supporting French and European research programs and Research Infrastructures such as ICOS, with inputs in expertise and support on sampling strategies and methods, sample collection, preparation and archiving, supply of samples to research programs, and partner analysis laboratories. The first sampling campaign of RMQS occurred from 2000 to 2009 and corresponded to 20,000 samples from 2200 sites. The second sampling campaign began in 2016 and will finish in 2027.GenoSol performs its activities in partnership with the European Conservatory of Soils Samples or restricted storage (access restricted to the soil owner).https://www.brc4env.fr/BRCs-and-collections/Invertebrates/Arthropods/EP-Coll) aims to collect, characterize, maintain, investigate, and share egg parasitoids\u2019 strains, these organisms being useful for biological control, applied entomology, and evolutionary ecology.The Egg Parasitoids Collection the conservation of living collections and (ii) the management of strains\u2019 transfers, the activities of the BRC are (iii) the collection of new strains (species and/or populations); (iv) the characterization of these individuals using morphological, molecular, phenotypic, and ecological criteria; (v) the optimization of sampling, rearing, and management methods; and (vi) the optimization of phenotyping methods.https://www6.paca.inra.fr/institut-sophia-agrobiotech/Infrastructure-PlantBIOs)), with greenhouses and controlled environment chambers for carrying out in vitro and in situ experiments, with official agreement for the manipulation of quarantine insects and nematodes, and all the laboratory needed for morphological and molecular biology studies.The BRC is deposited at the UMR1355 Institut Sophia AgroBiotech (ISA) in Sophia Antipolis, France. ISA is a research laboratory which benefits of an original collective scientific infrastructure PlantBIOs , and thermal biology including the development of a prototype for the evaluation of some key parameters.https://www.brc4env.fr/BRCs-and-collections/Vertebrates/Colisa) results from the merging of historical samples collected by three INRA units and by FBA as part of the AFB-INRA Pole \u201cGest\u2019aqua.\u201d These samples come from long-term monitoring and research activities conducted by these units and from a national catch declaration scheme .The historical collection of fish scales and tissues that have occurred.http://golo.cirad.fr). The network BRC4Env, the CSGR of GenoSol, EP-Coll, and Colisa have been labelled as BRCs by the French organism IBiSA.The network BRC4Env and its BRCs and collections implement a quality management according to the INRA Quality Framework v2 for optimized functioning, continual improvement, and stakeholder satisfaction. They plan to move to national (NF S 96-900) or international (ISO 9001:2015) certification in the next 2\u00a0years. Numerous BRCs and collections ensure the traceability and planning of their animation activities using the software AQ-tools developed by CIRAD , by providing temporal set of samples to scientists holds more than 900 strains . Microalgae and especially Diatoms are known to be excellent indicators of aquatic ecosystem pollution Rimet . This coTrichogramma pour la protection des cultures: Pang\u00e9nomique, Traits d\u2019histoire de vIe et Capacit\u00e9s d\u2019\u00e9tablissement) aims at characterizing the inter- and intra-specific diversity of the Trichogramma species at several levels of investigation .Trichograms of the BRC EP-Coll are relevant biological models for eco-evolutionary investigations and constitute a reservoir of candidate strains (species/populations/genotypes) for biocontrol of the INRA metaprogram SMaCH relies on a part of this Arthropods Collection: sequenced specimens, studied morphologically, preserved with their DNA for traceability purposes The samples of the collection Colisa, carrying DNA, allow genetic characterization of wild fish individuals or population. Via microchemistry, these samples allow to characterize the trophic status and the environmental conditions of life of these animals The Plant-parasitic Nematodes Collection of BRC4Env has been the support of various collaborative European research programs. For example, the pinewood nematode collection has been instrumental in the achievement of some objectives of the FP7/EU-project REPHRAME . Together with additional field sampling, these biological resources have been used to characterize the genetic diversity of nematode populations from both the native and the invaded areas, and to infer the worldwide routes of invasion of the parasite Haemonchus contortus populations, one of the most deadly livestock parasitic nematodes . The molt of this collection towards a more formal BRC has been recently initiated.The collection of animal parasitic nematodes has been established 30\u00a0years ago. It has originally been dedicated to ruminant trichostrongylid to delineate the genetic basis of anthelmintic resistance (Silvestre and Humbert 8)Leptospira, Tatard et al. Trypanosoma, Diagne et al. The CBGP Small Mammal Collection, including specimens (skins and/or skulls) and their corresponding samples , and the Small Mammal Database gathering all the associated information have been the support of a number of studies over the last years. Among others, we may cite the description of the invasion of Senegal by the house mouse , BRCs and collections of BRC4Env will determine the legal status of their accessions and consequences for their introduction and distribution, regarding the Access and Benefit Sharing as well as French and European policies. A case study based on soil samples will be developed during the project, because these resources are not well characterized at the time of sampling in terms of taxonomy.The main objective of BRC4Env is to develop the Information System of the network, currently constituted by shared tools and distributed services among BRCs, by making these tools interoperable and relevant regarding the Nagoya policy. A specificity of BRC4Env is the hosting of living collections of invertebrates. The Information System must provide and share information concerning sampling, rearing, phenotyping and molecular data, and barcoding. Here, we plan to set the following requirements: (i) centralization and standardization of metadata concerning the resources, (ii) secure storage and confidentiality by controlled access, (iii) tools to perform queries (in partnership with applications to be developed by AgroBRC-RARe). A common database for registering the projects hosted by the BRCs of the network will be developed.The Information System of BRC4Env will offer shared information dedicated to the resources hosted by its BRCs. It will also promote and contribute to make easier the access, storage, archiving of datasets, and their subsequent valorization, and provide to end-users access to the productions of the network by subscription to News and RSS feed. Experience gained in other pillars of AgroBRC-RARe in these fields will be used in order to optimize the functional specificities of our IS and to select the most relevant technical solution.Internal practice harmonization. Considering the diversity of BRCs and collections, the network will encourage practice harmonization for improved management and enhanced traceability of its activities within its BRCs and make available a comprehensive set of harmonized procedures. One main objective is the introduction (if necessary), the development, and the support for a common process-based quality management system for continual improvement and stakeholder satisfaction. Taken together, these actions will facilitate the sharing of experience and the identification of best practices within the BRCs and collections of the network. Sharing experience will then make possible to define a common policy for BRC and collections functioning, charters for sample and data access, relationships between BRCs and private partners\u2026Valorization of the activities of the BRCs. The network will produce scientific and perspective papers , illustrating the research questions that a better and beneficial coordination between BRCs can help to tackle, as well as the scientific and technical support they can provide to end-users. The network promotes also the production by the BRCs and collections of technical papers valorizing their expertise and know-how. It will also produce and support an action plan for attending national and relevant international conferences and workshops to increase its national and international visibility.BRC4Env shares two main other objectives in the next future.BRC4Enc is a network structuring the BRCs dedicated to environmental resources in France. It is currently seeking for similar networks of BRCs in Europe and worldwide to be a French component of international networks. Today, environmental resources are mainly taken into account in environmental specimen banking. BRC4Env can offer a frame to host samples and collections specifically addressing ecotoxicological issues."}
+{"text": "The European Board & College of Obstetrics and Gynaecology has initiated improvement of the European standards of training in Obstetrics and Gynaecology through the project called \u2018EBCOG-PACT\u2019. In this project, a pan-European curriculum for postgraduate training in Obstetrics and Gynaecology has been developed. The curriculum is societally responsive, and based on the latest medical educational methodology. It consists of the description of outcomes of training for the common Core Curriculum and Electives, the General competencies and soft skills to be trained, and strategies for training of obstetrical skills, gynaecological skills, ultrasound skills and bio-psychosocial and communicative skills. Also, the curriculum provides strategies for assessment through entrustment, a model for portfolio as well as strategies for faculty development and quality management of training. The implementation of the European curriculum in Obstetrics and Gynaecology will provide opportunities for national scientific and professional societies and ministries of health or education to consider modernisation of national or local OBGYN training programs. In the ever more internationalising world of today, with increasing mobility of both patients and doctors, training of the gynaecologist of the future requires high quality curricula that allow for continuous improvement and modernisation. Therefore, the European Board & College of Obstetrics and Gynaecology (EBCOG) has taken up the task to initiate improvement of the European standards of training in Obstetrics and Gynaecology (OBGYN) through the project called \u2018EBCOG-PACT\u2019 (Project for Achieving Consensus in Training). In this project, a pan-European curriculum for postgraduate training in OBGYN has been developed, which is societally responsive, and based on the latest medical educational methodology.Three main reasons clarify why development of a pan-European curriculum in OBGYN, and therefore European harmonisation of training, is needed . PrimariThe PACT project has been executed in close collaboration between European gynaecologists, trainees, educationalists, change managers, midwives, specialized nurses, hospital board members, and last but not least, patient representatives. It was recognised as a valuable strategic partnership for improvement of European higher education by the European Commission, and therefore was awarded an \u2018Erasmusplus\u2019 grant. Partners in this project represented four highly-renowned medical institutions from Denmark, Italy, Czech Republic, Belgium and the Netherlands, as well as organisations representing the societal stakeholders.The project ran between September 2015 and September 2018 and has resulted in several outcomes. The curriculum consists of the description of outcomes of training for the common Core Curriculum and Electives, both developed through a (Delphi) consensus procedure amongst European gynaecologists and trainees . BesidesThe curriculum has been translated and is currently available in seven different languages with two additional languages soon to follow . Also, several national scientific societies have initiated translation of the curriculum in their national language .https://www.uems.eu/areas-of-expertise/postgraduate-training/european-standards-in-medical-training). We are convinced that the implementation of the European curriculum in OBGYN will provide opportunities for national scientific and professional societies or ministries of health and education to consider modernisation of national or local OBGYN training programs.The UEMS council has officially adopted the curriculum as the European Training Requirements (ETR) in the field of Obstetrics and Gynaecology ("}
+{"text": "A meeting and course supported by the Vice-Presidency for International Affairs of the Spanish National Research Council (CSIC) and the National Agricultural Research Organization of Uganda (NARO) were held at the National Livestock Resources Research Institute (NaLIRRI) in Nakyesasa, Wakiso, Uganda on September 2\u20139, 2019. The activities were conducted within the collaboration program between the Institute of Game and Wildlife Research and NARO for the development of vaccines and other interventions for the control of cattle ticks in Uganda. Theileria parva), babesiosis (caused by Babesia bigemina), anaplasmosis , and heartwater (caused by Ehrlichia ruminantium), that affect cattle production in Uganda [Tick-borne diseases (TBDs), such as East Coast fever , in coordination with the Government of Uganda and stakeholders , proposeRhipicephalus microplus BM86 or BM95 recombinant antigens and registered in Cuba and Australia in the early 1990s [Antitick vaccines constitute an environmentally sound intervention with demonstrated efficacy for the control of cattle ticks and TBDs ,14. The ly 1990s ,15. Thesly 1990s ,14,15. Ily 1990s . Despitely 1990s . The collaboration between the Institute of Game and Wildlife Research (IREC) and the National Agricultural Research Organization of Uganda (NARO) for the development of vaccines to control cattle tick infestations began with P. D. Kasaija\u2019s arrival at our laboratory at SaBio, IREC to enroll in the Ph.D. program at the University of Castilla, La Mancha in Spain and during the visit of NARO executives to IREC in September 2018 -based vaccine for the control of cattle tick infestations in Uganda. As stated in the letter by the General Director of NARO, Ambrose Agona, the objectives were (i) understanding the institutional framework that supports successful vaccine production, (ii) identifying the best practices in livestock vaccine production, (iii) identifying infrastructural and human resources requirements for vaccine production, and (iv) establishing a lasting partnership and linkages between NARO and IREC for the development, registration, and production in Uganda of a cattle tick vaccine. Bos indicus and crossbred cattle in Uganda, Rhipicephalus appendiculatus, Rhipicephalus decoloratus, and Amblyomma variegatum. Vaccination trials with systemic and oral vaccine formulations are currently ongoing at NaLIRRI with the participation of the Ph.D. student enrolled in the Ph.D. program at the University of Castilla, La Mancha in Spain. This is the first time that vaccines based on SUB antigens are being tried to successfully control multiple cattle tick species. A second meeting between NARO management and IREC representatives was conducted at NaLIRRI in September 5, 2019 to discuss preliminary results of ongoing vaccination trials and future strategies for the control of tick-borne and other diseases affecting cattle health and production in Uganda was discovered in 2002 , and sinAs part of the project, a course was prepared to address the objective of developing the infrastructure and human resources required for the control of ticks and TBDs and vaccine production. The course was intended to build scientific capacity at the NaLIRRI in Uganda at both theoretical and laboratory practical levels and to implement a multidisciplinary approach for the control of infectious diseases affecting humans and animals in Uganda . A speciTick infestation and tick-borne diseases such as anaplasmosis and piroplasmosis are ranked high among the most important cattle diseases for poverty reduction and global trade. However, the list is much longer, including other relevant shared infections such as foot-and-mouth disease (FMD), Rift Valley fever (RVF), brucellosis, and tuberculosis (TB). Often, these shared infections are regarded as \u201cdouble-burden diseases\u201d, the control of which would benefit both human and animal health and livestock production and trade .Mycobacterium bovis and other closely related members of the Mycobacterium tuberculosis complex (MTC). It is a typical multihost shared infection present worldwide in a wide range of domestic and wild maintenance hosts [Syncerus caffer) and the widespread warthog (Phacochoerus africanus) [One of these priority double-burden diseases is animal TB, caused by ce hosts . It is kce hosts . Howeverce hosts . Regardice hosts , and 14%ce hosts . In Uganricanus) . TherefoM. bovis as an immunostimulant in oral vaccination against ticks [The ongoing trials of cattle tick vaccines might provide an opportunity for animal TB control in Uganda. Cattle enrolled in field trials could be tested for TB, possibly using alternatives to the traditional skin test, such as serology, in order to enable single-sampling protocols and facilitate diagnosis in remote regions . Other lst ticks . Given the key role of cattle in Africa as a safety net and a ladder out of poverty, it is important to maximize the contribution of research activities on livestock disease control to global health, wealth, equity, and sustainability .In Uganda, several arthropods are vectors of pathogens of medical and/or veterinary relevance, with mosquitoes and tsetse flies ranking highest as vectors for human pathogens and ticks having a massive impact on livestock production. R. decoloratus being less plastic than the three-host ticks A. variegatum and R. appendiculatus. However, all three species of ticks of relevance for cattle in Uganda can parasitize wild mammals, such as wild bovids, suids, lagomorphs, hedgehogs, carnivores, and small rodents, and a high number of wild bird species [Tick species differ in their host selection plasticity, with highly specialized one-host ticks such as species ,29, as w species . Despite species ,32. Oura et al. highlighConsequently, Uganda faces a potentially increasing wildlife\u2013human conflict to preserve the biodiversity that attracts tourists and supports the services sector of the country, which accounts for 50% of the GDP. Fighting ticks of cattle with acaricides and antitick vaccines would aid but not solve the conflict, which could only be solved by increasing scientific knowledge with a One Health approach that includes humans, livestock, wildlife, and ecosystems together to understand the ecology of ticks and tick-borne pathogens. This would allow designing effective and environmentally friendly prevention and control strategies in the future to control tick infestations and TBDs of cattle in Uganda. This was one of the main topics of the course at NaLIRRI, which was intended to build scientific capacity and increase concern about wildlife as relevant in the life cycle of ticks and tick-borne pathogens in Uganda.Exposure to cattle ticks or acaricides such as organophosphates account for pediatric poisonings in rural Uganda and toxiThe uncontrolled use of this acaricide may lead to environmental damage in aquatic ecosystems, acaricide resistance in ticks, and a possible exacerbation of TBDs . AlthougTherefore, the correct use and application of the most appropriate and effective acaricides, which was recently proposed as one of the key measures to prevent economic losses caused by ticks and TBDs in the cattle industry in Uganda , should The control of ticks and TBDs constitutes a priority for the Government of Uganda to promote economic growth in the country. This challenge requires a multidisciplinary approach to combine different control measures that range from cattle management and the rational use of acaricides to antitick vaccine development and application. Collaboration between research institutions leading research in these areas with those located in the most affected countries is necessary to achieve these goals. The ongoing collaboration project between IREC and NARO is focused on developing and implementing the production and application of SUB-based vaccines for the control of cattle tick infestations in combination with other control interventions. Controlled pen vaccination trials are currently ongoing. Future directions will include (i) characterization of protective immune response in cattle and vaccine antigen design, (ii) development and evaluation of oral vaccine formulations, (iii) building of vaccine production facilities at NARO, (iv) field trials with effective antitick vaccine formation, (v) characterization of animal TB epidemiology and future control options, (vi) study of the ecology and epidemiology of vector-borne diseases for effective control and prevention, and (vii) application of veterinary toxicology approaches to reduce the detrimental effects of acaricides and other compounds on human and animal health and cattle production."}
+{"text": "These processes include investigation of bioavailability to assess to what degree and how fast compounds are absorbed after drug administration, elucidation of metabolic pathways, and elimination routes and their kinetics, as well as the interactions of HMPs with synthetically derived drug products. Due to the complex chemical composition of HMPs, the absorption, distribution, metabolism, and excretion characteristics of the bioactive or toxic HMPs remain to be further explored. The difficulty lies primarily in the selection of appropriate biomarkers for detection, quantification of trace constituents, identification of potential drug-drug interactions, and the discovery of active constituents based on metabolic results.Herbal medicinal products (HMPs) are expected to be safe and effective. Nevertheless, evidence-based verification of the safety and efficacy of HMPs is still lacking. Understanding the metabolic profile and In this special issue, investigators contribute original research articles and review articles that would facilitate the understanding of the basic mechanisms as well as the development of new and promising complementary and alternative strategies for the metabolic profiling and pharmacokinetics of HMPs.Integrating pharmacokinetics is a crucial tool to identify the therapeutic agent. The research article by C. Zhang et al. elucidated the pharmacokinetic profiles and disposition kinetics of the administered and generated stereoisomers in the brain and cerebrospinal fluid (CSF) after oral administration of Isorhynchophylline (IRN) and Rhynchophylline (RN). The results demonstrated that, after oral administration, RN showed significantly higher systemic exposure and disposition in the brain and CSF than IRN, indicating that RN would be more appropriate to be developed as a potential therapeutic agent for the treatment of AD.In technology, ultrahigh-performance liquid chromatography tandem mass spectrometry (UPLC-MS/MS) is still the most popular tool for the pharmacokinetics study of HMPs. The research article by Y. Fu et al. established a simple, sensitive, and reliable UPLC-MS/MS method for quantifying pinosylvin in rat plasma, urine, feces, and various tissues. Nine metabolites of pinosylvin were found in plasma, and glucuronidation, hydroxylation, and methylation proved to be its main metabolic pathways. Sophora flavescens extract with cytochrome P450 (CYP) isoforms in human liver microsomes. The result showed that S. flavescens and its prenylated flavonoids caused significant herb-drug interactions when coadministered or incubated with substrates of CYP2B6, CYP2C8, CYP2C9, and CYP3A4. The research article by N. Temyingyong et al. determined the effect of short-course oral ciprofloxacin on isoflavone pharmacokinetics in healthy postmenopausal women. The results showed that ciprofloxacin administration significantly reduced the absorption of the aglycones of genistein and daidzein.There are many factors affecting the pharmacokinetics of HMPs, among which herb-drug interaction has been frequently studied. The research article by D. Yim et al. examined the selective interaction ofDrug formulation and administration route also significantly affect the pharmacokinetics of HMPs. The research article by P. Smyk et al. elucidated the influence of propolis on ion channels, channels location in cell membrane, and electrical resistance of skin. In this work, a model skin of Ussing chamber proved to be useful for studying the effect of chemicals on transepidermal ion transport.Finally, in addition to herb-drug interaction, the review article by S. Sun et al. summarized other important factors that affect the clinical practice of HMPs, such as herb pretreatment, herb-herb interactions, pathological status, gender, age of patients, and chemical and physical modification of certain ingredients. in vitro and in vivo studies as well as the literature review related to the objective of this special issue.Thus, this special issue included different aspects related to the recent advances in metabolic profiling and pharmacokinetics of HMPs, based on various"}
+{"text": "Skin pigmentation represents one of the most peculiar traits of human beings and its alteration as a consequence of pathological conditions has a dramatic impact on the wellness of individuals and their social relationships. Therefore, the possibility of controlling pigmentation by intervention at the different stages of the melanogenic process has represented over the years a most important research target, with many implications for the dermatological and cosmetic fields. One way of reaching such a goal is an in-depth knowledge of the genetics of pigmentation, the mechanism of activation of the melanocortin receptor 1 (MC1R) and the signaling cascade, and finally the expression and trafficking of melanogenic enzymes. In this regard, it is timely that Del Bino et al. [Most of the papers and review articles appeared in this issue provide a contribution along two main lines, that is, a) unraveling hitherto unappreciated aspects of the complex melanogenesis machinery, or b) identifying new compounds or natural extracts with the ability to suppress or stimulate melanogenesis and elucidating their mechanism of action. N-glycosylation occupancy, incorporating the two metal ions and acting on two different steps of melanogenesis, that is, Cu(II) to acquire 5,6-dihydroxyindole-2-carboxylic acid (DHICA) oxidase activity, or Zn(II) to acquire tautomerase activity. Of particular interest is the review paper by Solano , which rN-acetyltransferase 10, so far considered as a valuable target for cancer and laminopathies, was shown to play a role also in melanogenesis and melanoma growth through regulation of microphthalmia-associated transcription factor (MITF) [In Oh et al., r (MITF) . The evor (MITF) . The posr (MITF) . In Campr (MITF) . Oroxylum indicum seeds) [Polygonum tinctorium flower extract [A series of compounds exhibiting a broad structural diversity have also been investigated for their antimelanogenic activity by much different mechanisms of action, ranging from direct inhibition of tyrosinase, as reported for thiazolyl resorcinols or lipoym seeds) , Bamboo m seeds) ), conditm seeds) , or syntm seeds) , phenylhm seeds) ). It shom seeds) used humm seeds) , Polygon extract ).New strategies for melanogenesis stimulation are presented based on the use of low frequency or pulseThe case of rhododendrol, a skin-whitening ingredient that was reported to induce leukoderma, was reviewed by Ito and Wakamatsu . This prFinally, the opportunities opened by knowledge of the different chemical reactivity of the two major indole intermediates of melanogenesis, 5,6-dihydroxyindole (DHI) and DHICA, for cosmetic purposes were illustrated through examples in the field of hair dyeing and photoprotection . A uniquIn conclusion, the research contributions presented in this issue clearly illustrate how investigation of the basic facets of the melanogenetic process and insight into the mechanism of action of natural and synthetic compounds may offer a valuable tool for the design of efficient and selective strategies for the control of hyperpigmentary disorders or melanin stimulation as required in vitiligo. In this regard, the current status of clinical and molecular aspects of vitiligo treatments is discussed by Bishnoi and Parsad ."}
+{"text": "These include accelerated literature searches, analysis and prediction of physical and quantum chemical properties, transition states, chemical structures, chemical reactions, and also new catalysts and drug candidates. The generalization of scalability to larger chemical problems, rather than specialization, is now the main principle for transforming chemical tasks in multiple fronts, for which systematic and cost-effective solutions have benefited from ML approaches, including those based on deep learning . The latter class of ML algorithms is capable of combining raw input into layers of intermediate features, enabling bench-to-bytes designs with the potential to transform several chemical domains. In this review, the most exciting developments concerning the use of ML in a range of different chemical scenarios are described. A range of different chemical problems and respective rationalization, that have hitherto been inaccessible due to the lack of suitable analysis tools, is thus detailed, evidencing the breadth of potential applications of these emerging multidimensional approaches. Focus is given to the models, algorithms and methods proposed to facilitate research on compound design and synthesis, materials design, prediction of binding, molecular activity, and soft matter behavior. The information produced by pairing Chemistry and ML, through data-driven analyses, neural network predictions and monitoring of chemical systems, allows (i) prompting the ability to understand the complexity of chemical data, (ii) streamlining and designing experiments, (ii) discovering new molecular targets and materials, and also (iv) planning or rethinking forthcoming chemical challenges. In fact, optimization engulfs all these tasks directly.Computational Chemistry is currently a synergistic assembly between Patterns are ubiquitous in Chemistry. From the crystalline structures of solid forms to the branched chains of lipids, or the complex combinations of functional groups, chemical patterns determine the underlying properties of molecules and materials, essential to address important issues of societal concern. Artificial Intelligence (AI), and machine learning (ML) in particular, are committed to recognizing and learn from these patterns understanding and controlling chemical systems and related behavior approaches can also be particularly useful to solving a variety of chemical problems, including compound identification and classification, and description of soft matter behavior are critical challenges, that may, however, facilitate the routine implementation of data mining in chemistry and expedite new discoveries.The amount and quality of chemical data generated by experiments and simulations have been the mainstay of the new data-driven paradigm, that establishes the bridge between theory, experiment, computation, and simulation.This review describes, in a critical and comprehensive way, relevant contributions carried out recently and involving the development of chemistry ML approaches. An exhaustive account of the theoretical foundations and applications published in the early years of AI and ML in Chemistry falls beyond the scope of this review. The reader is referred to Lecun et al. , CoveneyUntil 10 years ago, only a few 100 studies on the use of ML in Chemistry were published, resulting from the contributions made over four decades. In 2018, ca. 8,000 articles in the Web of Science database included these keywords, corresponding to an increase in ca. 35% for just one decade. In this review, there is room to mention only a small fraction of these applications.Despite the increasing number of works on the topic, the models proposed and practices carried out by chemists are entailing serious concerns to be able to quickly identify areas that have benefited most from the development and implementation of ML approaches, and those that still lack of such an optimization, as evidenced by the type of outcome, (ii) to identify the most relevant ML outcomes in each sub-field, and (iii) to assess the dynamics of ML outcomes over the 2008\u20132019 period and how these are related, giving rise to relevant research trends.machine learning, type of outcome and the sub-field in which they co-occur . A total of 5,279 contributions on ML in Chemistry, with 81,248 citations, and published between 2008 and June 30, 2019, are found in the worldwide Web of Science database, corresponding to a 4-fold increase over the previous four decades. Considering the compiled data and the selected Chemistry fields , nine different ML outcomes embracing the most frequent chemical challenges are defined, including (i) text mining and system description, (ii) quantitative structure-activity/property relationships, (iii) DFT functionals and interatomic potentials, (iv) generative models and inverse molecular design, (v) molecular screening, (vi) synthesis/characterization of new compounds and materials, (vii) catalytic technologies, (viii) analytical techniques, and (ix) quantum models, algorithms, and quantum sensing. Note how these have a strong relation with the seven overall applications presented above (i\u2013vii).An extensive literature search on ML contributions in 30 Chemistry sub-fields is carried out, using a global set of 270 co-occurring keywords, each composed of three main terms, The heatmap represented in The natural clusters generated from the most important co-occurring relationships are also identified. Considering the dendrogram for the Chemistry sub-fields, it can be observed that these are organized in two main groups, which discriminates, in general, classical Chemistry sub-fields from analytical and biochemical sub-fields. This structure suggests a significant similarity in the type of ML outcomes within each group. Group 1 have benefitted from a significant production on catalytic technologies, DFT functionals and interatomic potentials, quantum models and quantum sensing. The most representative ML outcomes in group 2 are associated to text mining, analytical techniques, generative models and inverse design, molecular screening, structure activity relationships, and synthesis of new compounds and materials. Examination of the similarity between the type of ML outcomes reveals that there are three main groups, corresponding to (i) text mining, analytical techniques, generative modes and inverse design, and molecular screening (group 1), (ii) structure-activity relationships and synthesis of new compounds and materials (group 2), and (iii) catalytic technologies, DFT functionals and interatomic potentials, and quantum models and quantum sensing (group 3).ab initio approaches. However, the computational cost inherent to these classical approximations have limited the size, flexibility, and extensibility of the studies. Larger searches on relevant chemical patterns, have been successfully conducted since several research groups have developed ML models and algorithms to predict chemical properties using training data generated by DFT, which have also contributed to the increase of public collections of molecules coupled with vibrational, thermodynamic and DFT computed electronic properties , shown in Other strong correlations are found between generative models & inverse design and the two abovementioned ML applications, molecular screening (0.95) and text mining (0.93). This can be explained by the fact that many researchers have proposed machine learning frameworks based on a variety of generative models for modeling molecules, which differ in the respective model structure and in the selected input features , and between generative models and inverse design and analytical techniques (0.85). The former relation evidences the significant effort that has been made on applying ML models, in particular those based on accurate DL architectures, to find and select lead molecules , displaying desired properties molecular screening and (0.84), (ii) synthesis/characterization of new compounds and materials (0.78), and (iii) generative models and inverse design (0.75), DFT functionals and interatomic potentials with quantum models and quantum sensing (0.83), and synthesis/characterization of new compounds and materials with analytical techniques (0.79).Both generative models and analytical techniques have been extensively used in the qualitative/quantitative search of patterns underlying chemical systems optimization of reaction parameters and process conditions, e.g., changing the type of reagents, catalysts, and solvents, and also varying systematically, concentration, addition rate, time, temperature, or solvent polarity, (ii) suggestion of new reactions based on critical functional groups, (iii) prediction of reaction/catalyst design, and optimization of heterogeneous/homogeneous catalytic reactions, (iv) acceleration and discovery of new process strategies for batch reactions, (v) establishment of trade-offs in the reaction rate and yield of organic compounds, (vi) description and maximization of the production rate and conversion efficiency of chemical reactions, (vii) prediction of the potential toxicity of different compounds, and also the (viii) rational design of target molecules and guided exploration of chemical space , obtained from automatic and accurate electronic structure calculations Behler, .However, the intricate nature of the configuration space and its exponential dependence on system size and composition, have hampered the screening of the entire set of candidate structures directly by electronic structure calculations Behler, .Despite the usefulness of ML approaches being indisputable, with the promise to modernize molecular simulations, synthesis, materials science, and drug discovery, the respective endorsement and practical aspects in some chemical sub-fields is far from consensual pitfalls of some practices using ML. It has been argued that ML algorithms may lead to overestimated performances and deficient model generalizations, due to their sensitivity to the presence of maze-like variables and experimental artifacts from each molecule with random (Gaussian distributed) numeric strings. It was shown that the predictions were similar to the original ones. Chuang and Keiser have alsThe original assumptions regarding the significance and validity of the random-forest model to describe important and general chemical features were also confirmed , lack of standardization of chemical data, expertise and familiarity with ML and DL in chemistry sectors, and also lack of collaboration opportunities) which confer the ability of DLNs to learn from highly complex data and perform correlation and reduction. This means that the algorithm discovers correlated data, while discarding irrelevant information. Each layer combines information collected from the previous layer, and subsequently infers on the respective significance and send the relevant information to the next layer. The hidden term is used to represent layers that are not direct neighbors of the input or output layers.The process allows constructing increasingly complex and abstract features, by adding layers and/or increasing the number of neurons per layer. However, the use of more than a single hidden layer requires determining error attributions and corrections to the respective weights. This is carried out via a backpropagation, i.e., a backward process starting from the predicted output, and back through the neural network and ML methods in the search for novel molecular components, have also been implemented , contributing to increase knowledge on the interactions within quantum many-body systems and efficiency of DFT-based quantum mechanical modeling methods algorithm has been conducted , can be represented and predicted by ML methods of hybrid DFT per each atomization energy into milliseconds using ML. Cross-validation over more than seven thousand organic molecules yielded a mean absolute error below 10 kcal/mol. The authors have trained the ML algorithm on a set of compounds in a database, comparing the respective matrices to determine differences between molecules, so as to develop a landscape of such differences. Based on the atomic composition and configuration, the unknown molecule can be positioned in the landscape and the respective atomization energy can be estimated by the contributions (weights) obtained from the differences between the unknown and all known molecules , random-forest, kernel ridge regression, and neural networks (graph convolutions and gated graph networks) were tested. It was concluded that out-of-sample errors were strongly affected by the molecular properties, and by the type of representation and regression method. Molecular graphs and graph convolutions displayed better performances for electronic properties, while kernel ridge regression and histograms of dihedrals were suitable for describing energy-related properties [see Faber et al. for detaIn terms of drug development Brockherde et al. have devSpecifically, the algorithm was created and trained on the basis of a small sample set of the molecule under study, and applied to simulate the intricate chemical behavior within selected molecules, including malonaldehyde. A directed learning of the density-potential and energy-density maps was conducted, as illustrated in In more detail, one of the key tasks in atomistic modeling is the prompt and automated analysis of the simulation results, in order to provide a comprehensive understanding of the behavior of individual atoms and target collective properties. The main supervised and unsupervised machine-learning methods directed at classifying and coarse-graining of molecular simulations were recently summarized and discussed in Ceriotti . A schemab initio MD level of accuracy and produced converged MD simulations with fully quantized electrons and nuclei the free-energy and mean force with respect to translation of the molecule, (ii) the free-energy and variance of the mean force associated to molecular rotation, and considering (iii) the mean force being a conservative force field generated by the free-energy, and (iv) a prior energy for preventing deviations of the simulations with coarse-grained neural networks into unphysical state space regions, i.e., states displaying overstretched bonds or clashing atoms, which are captured out of the training data.The proposed strategy also outperformed classical coarse-graining approaches, which generally failed to capture relevant features of the free-energy surface, providing the all-atom explicit-solvent free-energy surfaces estimated with models including just a few coarse-grained beads, in the absence of solvent , and a predictor, which estimates chemical properties from the latent continuous vector representation of the molecule. These representations allowed generating new chemical structures automatically by employing simple operations in the latent space , and applying gradient-based optimization for a oriented-search of functional molecules for ensuring region/chemo/stereo selectivity and obtaining the highest yields, estimating the precise rate, yield and time for the reaction, predicting major/minor product, and also evaluating similarity between reactions modeling, and based on ML techniques, has been proposed for predicting the pre-discharge chemical profiles of ammunition components from the components of the respective post-discharge gunshot residue (Gallidabino et al., The integration of ML-based algorithms in a chemosensor has also pointed out the future of ML and the artificial internet of things applicability, i.e., optimized sensors, linked to a central data analysis unit via wireless (Mayer and Baeumner, Additionally, researchers have used ML to develop tools for predicting catalytic components and dynamics. For instance, the identification and prediction of ligands for metal-catalyzed coupling reaction have been conducted for designing a synthetic economic and ecological route, with the potential to be expanded into a system of pharmaceutical interest (Durand and Fey, Different case studies covering the application of these descriptors, including maps and models and DFT calculations, have been discussed, demonstrating the usefulness of descriptor-oriented studies of catalysis for guiding experiments and successfully evaluate and compare the proposed models (Durand and Fey, Li and Eastgate have desDesigning catalysts using computational approaches is also a major challenge in chemistry. Conventional approaches have been restricted to calculate properties for a complex and large number of potential catalysts. More recently, innovative approaches for inverse design have emerged, for finding the desired property and optimizing the respective chemical structure. The chemical space has been explored by combining gradient-based optimization, alchemical transformations, and ML. These efforts have been duly reviewed in the context of inverse design and relevance to developing catalytic technologies (Freeze et al., One possible approach to inverse design is to use the synthetic accessibility score, commonly used for drug molecules, in the scoring functions of inverse design for ensuring synthetic feasibility. For that purpose, empirical parameters can be used to describe molecules without the cost of using 3D coordinates for an entire structure and without using a model to describe the complex interactions from geometries.The major progress on inverse design relies on optimization algorithms, which govern the process for exploring a specific space, improving identification rates of parameters that allows optimizing the value of the scoring function. For example, the Classical Optimal Control Optimization algorithm, used for global energy minimization, is based on the diffeomorphic modulation under the observable-response-preserving homotopy algorithm, and lead the classical dynamics of a probe particle, driven by an external field for reaching the optimal value of a multidimensional function, by adjusting iteratively field control parameters over the gradient of the scoring function related to the controls. However, the respective use for scoring functions in inverse design applications still remain a challenge (Freeze et al., The application of autoencoders have allowed transforming SMILES representations of compounds into a continuous latent space in order to optimize chemical properties, including synthetic accessibility score and Quantitative Estimation of Drug Likeness. Additionally, by resorting to gradient-based methods the latent space can be intersected to predict new candidate structures for being synthesized and tested.The integration of inverse design, gradient-based optimization and ML is a very promising strategy to shorten the long path toward catalyst discovery (Freeze et al., This review has sought to provide a sample of ML approaches that support the major research trends in Chemistry, especially in computational chemistry, focusing on DLNs. Such an approaches have offered the possibility of solving chemical problems that cannot be described and explained via conventional methods. In the last few years, the application of ML to the optimization and prediction of molecular properties has become very popular, since more researchers are trained and acquired technical skills to develop and use such methods. ML applications are area-dependent and follow, in fact, a more or less obvious pattern. For instance, medicinal chemistry excels in structure-activity relationships. In other words, each sub-field is progressing essentially in activities that belong to its core subjects. It seems that these fields are evolving naturally, and we cannot identify significant disruptive trends.Despite the historical route of ML methods involving the implementation of clustering or dimensionality reduction approaches, to provide a simple, low dimensional, or coarse-grained representations of structural and dynamical patterns of complex chemical systems, the interplay between innovative ML-driven predictions and molecular simulations can be combined to make time-consuming electronic calculations feasible, obtain accurate interatomic potentials on complex systems, and provide a rational design of molecules and materials. However, the convergence between different ML algorithms is a major challenge to achieve a definite progress in the chemistry fields.Unsupervised learning may also contribute to elucidate the operating aspects of supervised algorithms, while supervised approaches may contribute to the formulation of objective metrics to evaluate the performance of unsupervised approaches.In Chemistry DL is still at an incipient stage, particularly in computational chemistry, although the pace of contributions has been increasing very recently. One of the major challenges is the disparity, quality and interpretability of the generated outcomes. Paired with the sophistication and ability of GPU-accelerated computing for training DLNs and the massive growth of chemical information used for training DLNs, it is anticipated that DL algorithms will be an invaluable engine for computational chemistry. DL uses a hierarchical cascade of non-linear functions allowing to learn representations and capture the required features from raw chemical data, necessary for predicting target physicochemical properties.Considering the recent effort on the topic, DL models have been implemented in various Chemistry sub-fields, including quantum-chemistry, compound and materials design, with superior performances to conventional ML algorithms. There is still tremendous room for improved model accuracy and interpretability. While industrial sectors will continue driving many advances, academia will continue playing a critical role in supplying innovative technical and practical contributions, as well as in fostering cross-disciplinary cooperation.TC performed the bibliometrics analysis, collected the relevant studies in the context of the review, structured, and wrote the paper. AP directed the work, contributed to the interpretation of the data, and to the structure of the review. Both authors reviewed the manuscript.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Professor Christian Weber studied medicine at the Ludwig Maximilians \u2013 University (LMU) of Munich, Germany, the University Hospital Galway, Ireland and Princess Alexandra Hospital, Australia. After receiving his medical degree in 1994, he joined the Center for Blood Research (T. Springer), Harvard Medical School for a postdoctoral research fellowship. Coming back to Germany, he was awarded as junior research group leader in Vascular Medicine at the Ludwig-Maximilians-University and later was appointed as full-time professor and head of Molecular Cardiology at the University Hospital of the RWTH Aachen. As founding Director of the Institute for Molecular Cardiovascular Research in Aachen, he became a prominent and well-known figure in cardiovascular field, launching well-funded hypothesis and opening novel visions on therapeutic strategies for cardiovascular diseases. In 2010, he was appointed as Chair in Vascular Medicine and Director of the Institute for Cardiovascular Prevention, the Ludwig - Maximilians - University of Munich, as well as Chair of the August-Lenz-Foundation.During his career, he published more than 400 scientific articles, with a cumulative impact factor of over 3100 and more than 20 000 citations, achieving the h-index of 74. His activity was recognized and awarded by the German Society of Atherosclerosis Research (W.H. Hauss-Prize), the European Society of Cardiology (Outstanding Achievement Award 2008), the American Heart Association and the Netherlands Organization for Scientific Research (VICI Award). He is the Chief Editor, Editorial Board Member and/or Referee of many prestigious scientific journals, as well as the president and/or important organizer of several scientific meetings. At last, but not at least, he is an appreciated model and mentor for many ambitioned and motivated young scientists.dolor, calor, rubor, tumor and function laesa. Basically, these symptoms can be explained by high production of pro-inflammatory mediators, recruitment of leukocyte subsets and increased vascular permeability. The role of inflammation in cardiovascular disease is immense. For instance, atherogenesis and plaque growth are driven by imbalanced lipid metabolism and chronic inflammatory processes involving the innate and adaptive immune system1. Therefore, studying inflammation is fundamental to understand the complex pathogenesis of cardiovascular disease and to develop novel biomarker panels together with more effective therapeutics.Inflammation is a protective or adaptive response of the immune system against pathogens or tissue damage. The clinical signs of acute inflammation are 2. The research on platelets, chemokine-receptor pairs and heterophilic chemokine interactions during inflammation is intensively developing as well in the recent past3.Before, the central role of monocytes, macrophages and innate versus adaptive immunity in cardiovascular disease have been extensively discussed. Recently, new aspects on monocyte and macrophage heterogeneity with differential subset-specific recruitment and hitherto less appreciated cellular players such as neutrophils, dendritic, mast and regulatory T-cells become more evident4. However, just a fractional amount of the comprehensive experimental data shows indeed relevance in clinical setting. The exact risk-benefit prediction is often obscure and associated with adverse side effects. The versatile experimental animal models are similar but largely not identical to men and the development of new therapeutics takes a long time with numerous clinical phases until approval.The translation of basic research into clinic is a huge challenge with several pitfalls and very heavy responsibility. Unraveling the molecular mechanisms of inflammation could catalyze the development of innovative cardiovascular therapeutics5.The atherosclerosis field is so vast that attempting to comprehensively cover all aspects will be futile. It will be rather crucial for the future to identify key determinants that lead to chronic inflammation in atherosclerosis, to dissect the intriguing diversity of lipid-related pro-inflammatory versus homeostatic and atheroprotective pathways, to review and validate genetic variants contributing to cardiovascular disease and to discuss promising clinical applications of selectively and local targeting inflammation depending on disease stageScience is a cruel mistress, so do not take shortcuts and be prepared for frustration. It will always be \u201cper aspera ad astra\u201d. But on your way, look out for the right mentor. That will help."}
+{"text": "Surface properties of biomaterials, such as chemistry and morphology, have a major role in modulating cellular behavior and therefore impact on the development of high-performance devices for biomedical applications, such as scaffolds for tissue engineering and systems for drug delivery. Opportunely-designed micro- and nanostructures provides a unique way of controlling cell-biomaterial interaction. This mini-review discusses the current research on the use of electrospinning (extrusion of polymer nanofibers upon the application of an electric field) as effective technique to fabricate patterns of micro- and nano-scale resolution, and the corresponding biological studies. The focus is on the effect of morphological cues, including fiber alignment, porosity and surface roughness of electrospun mats, to direct cell migration and to influence cell adhesion, differentiation and proliferation. Experimental studies are combined with computational models that predict and correlate the surface composition of a biomaterial with the response of cells in contact with it. The use of predictive models can facilitate the rational design of new bio-interfaces. The natural regeneration process of human tissues is strongly regulated by the interaction of cells with the extracellular matrix (ECM) for controlling adhesion, differentiation, and migration of different cells lines. The mini review is divided in two main sections: the first one will focus on experimental studies on electrospun fibers that provide physical cues for cell growth and differentiation; the second section will discuss computational models to predict cell behavior on micropatterns. Although mathematical models that simulate cell behavior on electrospun fibers are not currently available, the computational approaches here discussed can be adapted, in the future, to electrospun scaffolds and used to elucidate the underlying mechanisms responsible for cell-fiber interaction.Multiple studies have demonstrated that the morphology and roughness of fibers produced by electrospinning influence cell adhesion, proliferation, and orientation (PCL) fibers influences the recruitment of MSCs In vitro tests on human bone marrow MSCs (hBMSCs) revealed that fiber anisotropy modified cells' morphology: polygonal, round-shaped cells without alignment were detected in the random, mineralized regions of the scaffold; while elongated spindle-shaped cells aligned along the fiber direction were visible in the aligned region. Moreover, the aligned fibers significantly up-regulated tendon-specific and tendon-related markers and therefore guided tenogenic phenotypes of hBMSCs; while, the regions with random, mineralized fibers determined the expression of bone-specific markers and consequently hBMSCs osteogenic phenotypes. Although the authors have not elucidated the underlying cell signaling mechanisms, this work demonstrates that electrospun scaffolds with engineered fiber anisotropy are advantageous to achieve region-specific distribution of tendon- and bone-related genes and find potential application in ligament repair and regeneration of bone-ligament connections.Another study has investigated how electrospun PCL scaffolds with a novel random-aligned-random structure can be used to mimic bone-ligament connections and native ligaments by mediating the production of signaling molecules including Wnt3a, and to promote dentinogenesis. Osteogenesis of MSCs has been reported also on random Poly-L-lactic acid (PLLA) fibers, due to cytoskeletal rearrangements and tensions, which in turn influence intracellular mechanotransductive pathways , there is a clear gap in the field which has great potential if correctly pursued. This will open even more possibilities to design and create novel fibrous scaffolds with engineered surface structures (Ziebert and Aranson, Electrospun nanofibers have become vital structures for a plethora of different applications, with the field of biomedical engineering being, arguably, one of the most important. Thanks to the versatility of electrospinning, nanofibrous scaffolds can be tailored and modified to improve their biocompatibility for applications such as tissue engineering, drug delivery and wound dressings. For example, electrospun mats have been used in clinical studies for the treatment of arterial occlusive disease, skin cancer and diabetic foot Table . As discAD and EM contributed to the conception and design of the study. AD and EM wrote the first draft of the manuscript. DT wrote sections of the manuscript. All authors contributed to manuscript revision, read and approved the submitted version.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "The Geriatric Interprofessional Team Transformation in Primary Care (GITT-PC) model improves delivery of healthcare to older adults in primary care by training healthcare professionals in team functioning, rapid cycle QI, and evidence based geriatric practice. The program capitalizes on the role of nursing and other healthcare disciplines. To maximize sustainability, it focuses on Medicare-reimbursable visits. This program will focus on the implementation of the Annual Wellness Visit (AWV) through a collaboration between Dartmouth and 3 GWEPs: University of Florida, University of Louisville and the University of Wyoming. The model\u2019s standardized approach to implementation begins with practice assessments and two trainings. The first training focuses on team functioning & rapid cycle QI and the second is a deep dive training focused on the implementation of the AWV. After the training, practices participate in a data-driven, virtual learning collaborative with monthly data collection and learning sessions. Since 2015, the AWV, through the GITT-PC model has been implemented in 14 sites in northern New England, 10 sites in upstate New York, and nationally through five other GWEP awardees across the country."}
+{"text": "This article describes the data associated with the research paper entitled \u201cSubjective life satisfaction in public housing in urban areas of Ogun State\u201d by\u00a0Ibem and Amole (2013). A multistage sampling technique and questionnaire were used to extract data from occupants in 517 dwelling units in ten selected government mass housing schemes located in five urban centers in Ogun State, Nigeria. The dataset has 57 different variables describing households\u2019 demographics, dwelling units\u2019 features, supply of basic services, and neighbourhood environment in the residential estates. In addition, it also contains variables used to assess residential satisfaction and satisfaction with life. The Statistical Package of the Social Sciences (SPSS) file, descriptive statistics for all the variables and questionnaire used to derive the data are provided in this article. The dataset will enhance understanding of the main research findings and conclusions. Specifications tableValue of the data\u2022The dataset is valuable as it provides insight into the housing situations of occupants in government mass housing projects in five urban centers of Ogun State southwest, Nigeria.\u2022The data also have value in understanding the standard of living of occupants in selected mass housing schemes developed by the government in Ogun State.\u2022Housing researchers can use the dataset to compare the housing situations of occupants in other government residential mass housing estates and types of urban housing environment.\u2022The dataset can be used to assess the performance of government constructed mass housing schemes in meeting the needs and expectations of end-users.\u2022The data and questionnaire instrument can be valuable in similar studies in the future.1The dataset described in this article was extracted from 517 residents in the (i) Workers Housing Estate, Laderin (ii) Ogun State Housing Corporation Estate, Ajebo (iii) Obasanjo Hill-Top (GRA) Estate (iv) Kemta Extension Housing Estate, Olokota (v) Media Village, Ajebo; and (vi) Otunba Gbenga Daniel Housing Estate, Asero in Abeokuta. Others are the Ogun State Housing Corporation, Idiroko Road, Ota; Otunba Gbenga Daniel-Sparklight housing estate, Ibafo; Ogun State Property Investment Corporation (OPIC) Estate, Agbara and Otunba Gbenga Daniel Housing Estate, Itanrin, Ijebu-Ode in Ogun State, southwest Nigeria The dataset comprises nominal, interval and ordinal data and contains nine demographics variables and 16 objective housing characteristics, including the number of bedrooms, type of residence, location and use of kitchen, type of walling and ceiling materials, window and door types, wall and floor finishes, type of roofing materials, mode of acquisition of residence and state of repair of the buildings, and modes of water supply, main source of power supply, domestics waste disposal arrangement. It also has 31 subjective variables drawn from dwelling units\u2019 characteristics, sources of water and electricity in the dwelling units; physical, social and economic characteristics of the neighbourhood environments as well as management practices in the residential estates, used to investigate residential satisfaction Detailed descriptions of each of these variables can be found in the sample copy of questionnaire instrument, the SPSS file, and residents\u2019 responses to the questionnaire included in the supplementary files and made available in this article.2Very Dissatisfied and ending with \u20185\u2019 for Very Satisfied was used. Similar studies have used this scale of measurement as seen in the previous works by The dataset was sourced from ten mass housing estates constructed between 2003 and 2010 by the Government of Ogun State using the Core housing, Shell, Public-Private Partnerships (PPPs) and Turnkey strategies in Abeokuta, Ota, Ijebu- Ode, Ifo and Agbara. Based on the research by Ibem and Amole A cross-sectional survey involving the administration of pre-tested questionnaire was used to gather the data from residents in the selected estates. This is in line with the approach adopted by previous authors in similar studies In the survey, each of the 15 and 30 housing units occupied in the residential estates developed through Shell and PPPs strategies, respectively, was given a questionnaire to fill, however, while in the residential estates developed using the Core housing and Turnkey strategies, random sampling method was applied in selecting dwelling units for the administration of questionnaire to the occupants. The questionnaire was administered by hand to household heads or their representatives in each of the dwelling units selected in the morning and evening hours of week days and daytime at weekends between December 2009 and February 2010. Although 670 questionnaires were distributed in all the ten estates, 517 questionnaires retrieved were found to have been correctly filled by the respondents. The SPSS software package was used to analyse the data and the responses are presented using tables and figures as shown in the supplementary files."}
+{"text": "This initiative, partially supported by public Spanish government funds, was also the promoter of the Spanish Network on Ion Channels (RECI), a multidisciplinary network that includes more than 50 Spanish groups interested on ion channels (www.reci-ionchannel.org). In the present Special Issue, some SICI members, as well as RECI colleagues, wanted to contribute with the most update knowledge of representative ion channel research in Spain for the last 10 years.The Spanish Ion Channel Initiative consortium the composition, structure and role of signaling channel complexes (channelosomes) in health and disease; (ii) the atomic structure of the pore forming subunits, of channel complexes and their dynamics; (iii) the molecular and cellular mechanisms underlying channelopathy phenotypes, as well as the implication of ion channels in the etiology of other human diseases; and, (iv) the discovery of therapeutically useful channel modulators for drug development. SICI has addressed these questions by establishing an integrative and inter-disciplinary ion channel program that brought together complementary skills. SICI pursued innovation through integration by assembling a multidisciplinary team composed of physiologists, biochemists, biophysicists, structural biologists, chemists, and pharmacologists. The major outcome of SICI has been the generation of innovative knowledge in the ion channel arena that has resulted in: (i) ground-breaking, transferable technology; (ii) original ion channel therapeutics for the treatment of human disorders; and, (iii) an integrated educational program on ion channels for graduated and postgraduate students. The integration of ion channel research via the multidisciplinary teamwork has proven to be very productive, as reflected by almost 500 scientific articles produced by the research groups that participate in SICI. In this special issue the reader may find interesting contributions from structure-function studies to cell biology, pharmacology, or physiology of ion channels.Keeping all this in mind, we, the editors of this special issue, thank the contributors for their effort and whish that the lecture of these selected contributions will be enjoyable. These reviews and research papers bona fide reflect the outstanding level of the last 10 years research on ion channels performed by SICI and RECI members."}
+{"text": "To assess the impact of scientific and technical training on midwives' abilities in collecting and recording the key performance indicators for fetal growth chart development in limited-resource settings. A descriptive design was used to describe midwives' abilities in timely collecting and recording the minimum data required to estimate fetal weight and develop fetal growth chart. The study was conducted among 19 urban and rural midwives in South Kalimantan, Indonesia, between April 2016 and October 2017. The training provided access to antenatal care information on 4,946 women (retrospective cohort study) and 381 women (prospective cohort study). The average amount of recorded antenatal care data on the key performance indicators of fetal growth assessment has been significantly improved through scientific and technical training. Scientific knowledge and technical abilities have enabled midwives to timely record routine data of the key performance indicators for fetal growth surveillance. Access to this information is vital during different stages of pregnancy. The information can be utilised as evidence-based guidelines to assess fetal risks through fetal weight estimation and to develop fetal growth chart that is currently not available in Indonesian primary healthcare systems. Fetal growth assessment during antenatal care (ANC) is fundamental in preventing potentially adverse pregnancy outcomes. It has been well documented that one of the main objectives of ANC services is to detect the risk of intergrowth abnormalities , 2. The Access to, adequate use of, and systematic analysis of fetal growth information is crucial for monitoring, detecting, and assessing risks linked to neonatal mortality. The access to reliable, complete, and timely information on pregnancy-related outcomes and interventions remains challenging in Indonesia. Thus, leading to non-evidence-based decisions for program planning and allocating resources , 7.Access to the results of fetal growth assessment during routine ANC examinations is essential , 8\u201310. TImprovement of the data availability, consistency, and quality has become one of the world's priority actions in increasing life survival and reducing the burden of care costs for life-threatening situations and disability for newborns , 15\u201317. Midwives are primary practitioners over 87%) in providing ANC service to pregnant women, detecting potential complications and abnormalities through pregnancy to delivery, and providing timely interventions and referrals \u201321. They7% in proAccess to national and local data on individual maternal, fetal, and neonatal health information during ANC remains insufficient, particularly in developing countries. In Indonesia, the difficulty in collecting the data hampered the development of both standard fetal and newborn growth charts . UnrecorThe aim of this study was to assess the impact of scientific and technical training on midwives' abilities in documenting the minimum data required for fetal weight estimation and fetal growth chart development.This research is the continuation of the previously published study, and the details have been provided in Anggraini et al. . The priA descriptive design using quantitative methods was used to achieve the research aim. Midwives' abilities in collecting and recording the minimum data required for fetal weight estimation , 26 and This study used fetal growth assessment tools which are listed in the first column of Descriptive statistics used to assess the performance of routine ANC data collection, particularly in documenting the key performance indicators of fetal growth assessment , are theAs a part of doctoral degree research, this study has obtained research permissions from the Indonesian national, provincial, and local governments and two ethics' clearances from the Medical Research Ethics Committee, University of Lambung Mangkurat (ULM), Indonesia (reference: 018/KEPK-FK UNLAM/EC/III/2016) and the College Human Ethics Advisory Network (CHEAN), RMIT University, Australia (reference: ASEHAPP 19-16/RM no. 19974). Information about the confidential nature of the project and a consent form (written in both Bahasa Indonesia and English) for recruitment to the study were given to the selected midwives and pregnant women (prospective study), who all agreed to participate.The results discussed below are based on information obtained from the participating midwives, who have the average age of 41 years (ranged between 29 and 56 years) and the average working experience of 19 years (ranged between 6 and 36 years). Further details on participants' characteristics are provided in Anggraini et al. .Scientific and technical training has significantly improved the average amount of recorded ANC data on the key performance indicators of fetal growth assessment suggested in In Indonesia, Johnson-Toshach model is natioBefore training, midwives' unawareness on the importance of recording FH is clearly indicated in However, after training, the responsiveness to those data documentation was significantly improved , particuGardosi et al. recommenFigures As with the main database performance, there was significant improvement of midwives' competencies across PHC facilities in documenting the optional databases for individual fetal growth chart development Figures . This waThe awareness by Indonesian midwives, particularly in rural areas, of the importance of documenting FH and FS at a given GA to estimate fetal weight using the current formula has significantly improved after the training . However, the databases' adequacy remained below 70%. A similar trend of low recording of FH (range 36-76%) was also found in rural Australia .Routine and reliable measurement of FH and its documentation at a given GA throughout pregnancy are essential. Although many factors influence the wellbeing of the fetus, FH remains one of the most recommended and accessible predictors to estimate fetal weight and moniThe measurement of FH is a simple and cost-effective clinical activity. It remains an important first-level screening tool, widely used during routine ANC in both high- and low-income settings, particularly in rural areas where ultrasound machines and skilled personnel are not always available , 41. WheBefore training, access to the recommended minimum databases to develop individual fetal growth chart based onThe adoption of the international standard of fetal and newborn growth references , 46, 47 The current utilisation of global reference in Indonesia has deplThe provision of the fetal growth chart during pregnancy is important to assess the viability of the fetus at different stages of pregnancy and to ensure neonatal survival and wellbeing. The chart can be an effective screening tool to assist midwives in analysing and detecting the risks of fetal growth abnormalities such as prematurity and LBW, as part of their role to improve ANC service . Consequth highest for preterm births in the world [Maternal, neonatal, and child health programmes have been initiated and implemented to reduce the mortality rate in Indonesia, particularly due to prematurity and LBW , 52, 53.he world , 55. Thehe world , 13, 56.To the best of our knowledge, the scientific and technical training has, for the first time, equipped the urban and rural Indonesian midwives with the updated scientific knowledge and technology regarding fetal growth assessment during pregnancy. The training has also increased the midwives' awareness on the importance of timely documentation of the key data on characteristics of mother and fetus in the current manual pregnancy registers . In relaScientific and technical training has significantly improved the average amount of recorded ANC data on the key performance indicators of fetal growth assessment during pregnancy. The training has equipped midwives with scientific knowledge and technical abilities to electronically record maternal, fetal, and neonatal health information during pregnancy and delivery. Provision and adequate use of this information during different stages of pregnancy enables fetal weight estimation and promotes the development of fetal growth chart that is currently not available in Indonesian ANC practices, particularly in rural areas. The fetal growth chart is an effective surveillance tool that can assist midwives in capturing, reviewing, and assessing fetal risk factors to end preventable mortality."}
+{"text": "Currently, the GHS has three panels consisting of 5000 households of the GHS collecting additional data on agricultural activities, other household income activities, and household expenditure and consumption, among others. This is to improve data from the agricultural sector and the linkage to other facets of households\u2019 characteristics and outcomes. The LSMS data-set, questionnaire, and basic information document are freely available online at: Specifications TableValue of the data\u2022LSMS-ISA data is an integration of longitudinal panel survey into GHS that makes it possible to produce a more comprehensive analysis of poverty indicators on socio-economic characteristics for rural households3\u2022LSMS-ISA data helps in building capacity and the development of sustainable systems for the production of accurate and timely information on agricultural households\u2022LSMS-ISA helps the development of an innovating model for collecting agricultural data\u2022LSMS generates high-quality data, improving survey methods, and building capacity. The goal of the LSMS is to facilitate the use of household survey data for evidence-based policymaking.1The rural households\u2019 survey is important source of development data, but in low- and middle-income countries, the capacity to conduct and analyse them widely differs. The LSMS-ISA helps address these issues with respect to agricultural data The Living Standards Measurement Study-Integrated Surveys on Agriculture (LSMS-ISA), General Household Survey (GHS) Panel is part of a larger, regional project in Sub-Saharan Africa (SSA) to improve agricultural data for analysis. Ethiopia, Mali, Malawi, Niger, Nigeria, Tanzania and Uganda are the seven countries being supported by the World Bank through funding from the Bill and Melinda Gates Foundation (BMGF), to strengthen the production of household-level data on agriculture. This regional project, the LSMS-ISA has the aim of enhancing people\u05f3s understanding of agriculture in SSA, specifically, its role on household welfare, access to agricultural land and poverty reduction 2The survey instruments for this data set is based on LSMS-ISA for the Household Survey Panel sample which comprises of 5000 households were considered to be characteristics at the zonal and national levels which is made up of both the urban and rural areas.Wave 3 GHS-Panel comprises three questionnaires2.1The Household Questionnaire gives data on socioeconomics; instruction; wellbeing (counting anthropometric estimation for kids and kid vaccination); work and work information accumulation alternatives; nourishment and non-sustenance use; family unit nonfarm pay producing exercises; nourishment security and stuns; security nets; lodging conditions; resources; data and correspondence innovation; and different wellsprings of family unit salary.2.2The Agriculture Questionnaire solicits information on the ownership of land and its uses such as farm labour; inputs use; GPS measuring area of land and management of household farmland; machinery used for farming; irrigation; harvesting and crop utilisation; animal holdings and fishing , Table 2"}
+{"text": "Dear Editor,Fibroepithelioma of Pinkus (FEP), also known as fibroepithelial basal cell carcinoma, is a rare cutaneous neoplasm. It has a frequency that ranges from 0.2% to 1.4% in a series of basal cell carcinomas.The patient was 69 years old, male, white, and with a history of bone tumor in the left femur at the age of 17 years. He had undergone a surgical intervention and adjuvant radiotherapy. Years later, he noticed the appearance of red-brown, asymptomatic, slowly evolving papules, restricted to the skin adjacent to the surgical scar, in the area previously subjected to radiotherapy. In 2016, the patient sought dermatological treatment. He exhibited discreetly raised translucent erythematous plaques with pigmented inferior borders, located on the upper lateral aspect of the left thigh. He also exhibited some translucent erythematous papules, located near the surgical scar . The hisFEP affects non-photoexposed areas, commonly in the inguinal and lumbosacral regions.The etiopathogenesis of FEP is controversial.5The histopathological features are fundamental for diagnosis. They are described as peculiar and unmistakable, evidencing thin anastomosing strands of basaloid cells, surrounded by abundant stroma, which form a uniform border with the underlying dermis, resembling a honeycomb.The evolution of FEP is slow. It exhibits low local aggression and little risk of metastasis.In the presented case, the patient had multiple FEP lesions excised and is attending regular follow-up appointments at the dermatology service.This case is reported to emphasize the possibility of other etiologies of basal cell carcinomas, such as previous radiotherapy.None declared.Bruna Anjos Badar\u00f3: Conception and planning of the study; elaboration and writing of the manuscript; obtaining, analyzing and interpreting the data; critical review of the literature; critical review of the manuscript.Lucia Martins Diniz: Approval of the final version of the manuscript; conception and planning of the study; effective participation in research orientation; intellectual participation in propaedeutic and/or therapeutic conduct of the cases studied; critical review of the literature; critical review of the manuscript.Ernesto Negris Neto: Obtaining, analyzing and interpreting the data; intellectual participation in propaedeutic and/or therapeutic conduct of the cases studied.Elton Almeida Lucas: Obtaining, analyzing and interpreting the data; effective participation in research orientation; intellectual participation in propaedeutic and/or therapeutic conduct of the cases studied.None declared."}
+{"text": "The human brain is the most complex organ in the human body. It comprises billions of neurons and supporting cells in a complex network, managing everything from physical functions to thoughts and feelings of humans. Dysfunctions of the complex network caused by both genetic and environmental factors result in many brain disorders. Several large brain projects have been launched, aiming to understand how the brain works in health and disease, including the Human Brain Project of the European Union, the Brain Research through Advancing Innovative Neurotechnologies (BRAIN) Initiative of the United States, and the Brain Mapping by Integrated Neurotechnologies for Disease Studies (Brain/MIND) project of Japan. These projects gather, organize, and disseminate data describing the brain and related diseases, in the meantime develop brain-inspired computing and data analytics. As an example, the Human Connectome project (HCP) uses cutting-edge brain imaging technologies to map the circuitry of the healthy adult human brain in order to track their susceptibility to change during aging and disorder occurrence. In addition, the HCP will collect DNA samples, demographic information and behavioral data from the subject to investigate the effect on human brain by both genetics and environment. By analyzing the functional magnetic resonance imaging (fMRI) mappings to detect the factors determining face recognition, the code for facial identity comprised of 205 neurons in primate brain was discovered China Brain Project (CBP) has recently been initiated to promote major advances in the basic understanding of brain and address some urgent societal needs on human health ., for the first time, systematically explored the cellular and molecular mechanisms involved in the formation of prefrontal lobes in the development of the human prefrontal cortex (PFC) by single-cell RNA sequencing (scRNA-seq) Technologies for single-cell amplification and sequencing are maturing, which will be applied by more researchers as a routine tool to assess the genome, transcriptome, proteome, and epigenome of single cells to gain biological insights, particularly in brain science. To date, single-cell transcriptome is the most widely used single-cell sequencing technology, especially in model organism mice The underlying causes of neurological and psychiatric disorders, such as Alzheimer\u2019s disease (AD), Parkinson\u2019s disease (PD), and major depression, are as important as the principles of how the brain works in normal state. Genome-wide association study (GWAS) has been the primary method to explore the genetic risk of common genetic diseases, like PD. Recently the subpopulations of dopaminergic neurons that are linked to PD in the mouse brain at embryonic and early postnatal time points were characterized by scRNA-seq Brain science has entered a new era of big data with the development of single-cell sequencing technologies, the development of new tools for mapping neuronal connections, the increasing resolution of imaging technologies, and the explosion of nanoscience. Many large brain projects and individual studies have accumulated a huge amount of data related to brain function. Taking the HCP as an example, it released high quality image data from 1100 subjects plus out-of-scanner, behavior-only data from 100 subjects, which have an unprecedented spatial resolution of 1.25\u202fmm and very low structured temporal noise We are facing a real big challenge with the increasingly complex datasets in brain science. First, for each type of data, there is a lack of standard specification for their generation, storage, processing, and utilization, which hampers the comparison and integration of data or results from different research groups. Moreover, most of the data are unstructured, heterogeneous, and generated from different sources. Developing efficient tools to transform them into structured and normalized format is of critical importance. Second, how to integrate all different types of data including medical information, omics data, morphology, and connectivity images to gain a deep understanding of the brain\u2019s role is a bottleneck. In addition, the technologies of the internet, artificial intelligence, augmented reality (AR), and virtual reality (VR) will be gradually applied to the study of brain science. Improved statistical models are needed for reliable inference from these data. Computational strategies are becoming central to virtually everything we do now. Third, storage and processing of such large datasets with high efficiency remain difficult. The rapid rate of data generation requires powerful storage and processing ability. New processing and computing methods as well as storage devices are needed to bridge the increasing gap between data growth and processing power. Advances in neuroimaging, genomics, computational neuroscience, and engineering have ushered us to another great era of brain science, when we are bound to make extraordinary discoveries regarding normal brain activity, disorders of the brain, and our very sense of self.In the era of big data, brain science is a fast-developing field. This special issue provides a glimpse of advances in the field of brain science, mainly focused on genomics and neuroimaging.de novo mutations in developmental disorders with special emphasis on isoform-specific mutations Genomics is at present one of the main workhorses for brain science. We specifically highlight the application of genomics tools to the investigation of brain disorders, including causal mutations, diagnostic biomarkers, and actionable targets. Built upon previous high-throughput sequencing studies, Ludwig et al. derived a model based on microRNAs to detect AD using peripheral blood In the meantime, neuroimaging is increasingly utilized in the investigation of brain function and dysfunction. Liu et al. investigated cognitive dysfunction in type 2 diabetes using functional neural network Through these snapshots, we hope the readers can achieve better understanding of the current status in brain science, especially the challenges we are facing and the road ahead of us.The authors have declared no competing interests."}
+{"text": "Gender equality in access to higher education is an important factor in building a sustainable world. Although a good number of countries across the globe have achieved parity in primary education between boys and girls, the target is yet to be widely attained at tertiary level of education. In this data article, empirical data on yearly admissions into accredited tertiary institutions in Nigeria are extensively explored to reveal the existence of gender gaps in the national admission process. Details on the number of candidates admitted into all accredited universities, polytechnics, and colleges of education between 2010 and 2015 were obtained directly from the Joint Admissions and Matriculation Board (JAMB). Gender distributions of admitted candidates are analyzed across the thirty-six (36) states of the federation, the Federal Capital Territory (FCT), and the international students\u2019 category. Gender disparity in admissions into Nigerian tertiary institutions are explored using relevant descriptive statistics, box plots, bar charts, line graphs, and pie charts. In addition, Analysis of Variance (ANOVA) is carried out on the historical data to find out if there are significant differences in the arithmetic means of females and males admitted over the six-year period. Furthermore, multiple comparison post-hoc test results are presented in tables to understand the extent of variations (if any) in gender distribution over the years. The robust data exploration reported in this data article will help national regulatory bodies and relevant stakeholders in policy formulation and decision making towards ensuring equal access to higher education in Nigeria. Specifications tableValue of the data\u2022Thorough evaluation, correct interpretation, and contextual discussion of the data analyses provided in this data article may speed up the achievement of Goals 4 and 5 of the global Sustainable Development Goals (SDGs) in Nigeria.\u2022Various research efforts aimed at achieving SDGs 1, 3, 7, 10, and 11, will be intensified if access is granted to more females into Higher Education Institutions, particularly into Science, Technology, Engineering, and Mathematics (STEM) programs.\u2022The data exploration provided in this data article will call the attention of national regulatory bodies, executives, administrators, and relevant stakeholders to the need for strategic advocacy and promotion of equal access to higher education among all women and men in Nigeria.\u2022Robust data exploration presented in this data article will help the United Nations (UN) to objectively assess the level of gender disparity in access to higher education in Nigeria.\u2022The contribution of this data article will further widen the coverage of evidence-based and reproducible research on gender disparity in higher education. In addition, the utility of the data may open doors for new research collaborations on the trends and patterns of enrollment by gender in higher institutions in sub-Saharan Africa.1Elimination of gender disparity at all levels of education is one of the major global goals in the pursuit of sustainable development across the globe The basic features of the quantitative data on yearly admissions into all accredited Nigerian universities, polytechnics, and colleges of education between 2010 and 2015 were described using eleven (11) different statistical parameters namely: mean, median, mode, standard deviation, variance, kurtosis, Skewness, range, minimum value, maximum value, and the sum. The descriptive statistics of the number of candidates admitted are computed for two gender category and the results obtained are presented in Also, the gender distributions of admitted candidates were analyzed across the thirty-six (36) states of the federation, the Federal Capital Territory (FCT), and the international students\u2019 category. The distributions of enrollment in higher education for the period of six years (2010\u20132015) are shown in The proportions of females and males in admissions into Nigerian tertiary institutions are depicted using pie charts shown in 2Details on the number of candidates admitted into all accredited universities, polytechnics, and colleges of education between 2010 and 2015 were obtained directly from the Joint Admissions and Matriculation Board (JAMB). Gender distributions of admitted candidates are analyzed across the thirty-six (36) states of the federation, the Federal Capital Territory (FCT), and the international students\u2019 category. Gender disparity in admissions into Nigerian tertiary institutions are explored using relevant descriptive statistics, box plots, bar charts, line graphs, and pie charts."}
+{"text": "Population aging and longevity in an era of immense environmental instability raises concerns about the precarity of aging and insecurity in later life. From home- and neighborhood-level insecurities to uncertainties generated by climate change or broad economic and sociopolitical upheaval across the globe, the factors contributing to instabilities relevant to older populations are heterogeneous in scale and cause. This symposium focuses on understanding older people\u2019s needs and experiences in the context of unstable social, economic, political, and natural environments. The first paper investigates effects of socio-environmental disruption on the well-being, recovery, and resilience of older adults in Louisiana and Mississippi deeply affected by Hurricane Katrina. The second paper explores the confinement, exclusion, and loss of autonomy, as well as the creative negotiation and sociopolitical reclamation of space, among disabled older adults experiencing houselessness. The third paper discusses filmmaking with formerly homeless older adults as a method to engage marginalized individuals in community-based participatory research and better understand nuanced meanings of \u2018home\u2019. The fourth paper explores how transportation and technology can serve as both facilitators and barriers to accessibility and social connectivity among ethnically diverse low-income older adults. Altogether, the papers critically discuss novel scholarship and applied research in environmental gerontology from the micro to macro scale. The symposium inspires methodological innovation and critical research directions, and informs place-based policymaking to address diverse contexts of aging in place."}
+{"text": "International Journal of Telerehabilitation (IJT) is a biannual journal dedicated to advancing telerehabilitation by disseminating information about current research and practices. The journal is PubMed indexed, and was recently accepted into Scopus, with indexing to follow.The International Journal of Telerehabilitation (IJT) explores five diverse topics that fall under the unifying umbrella of telerehabilitation: telehealth privacy and security; the usability of an immersive augmented reality based system with haptics for synchronous remote musculoskeletal examination; parent perspectives of occupational therapy delivered through telehealth; the use of telehealth in early intervention in Colorado; and the use of telerehabilitation as an effective platform to help manage Low-Back Pain (LBP). We thank our authors and are honored to publish their work.The current issue of the multi-disciplinary We are grateful for the generous efforts of the IJT reviewers, many of whom have reviewed prospective IJT articles for over a decade. Sections Editor, William E. Janes, OTD, MSCI, OTR/L has been a very impactful reviewer and support to authors.Thanks also to the publisher of IJT, the University Library System, University of Pittsburgh. IJT is currently sponsored by the Rehabilitation Engineering Research Center on Information and Communication Technology Access at the University of Pittsburgh. The RERC is funded by the National Institute on Disability, Independent Living, and Rehabilitation Research (NIDILRR). Volumes 1\u20137 were sponsored by the Rehabilitation Engineering Research Center (RERC) on Telerehabilitation at the University of Pittsburgh.We cordially invite submissions to the Fall 2019 issue by mid-September 2019. IJT accepts original research, case studies, viewpoints, technology reviews, book reviews, and country reports that detail the status of telerehabilitation.Sincerely,Ellen R. Cohn, PhD, CCC-SLP, ASHA-FIJT EditorJana Cason, DHSc, OTR/L, FAOTASenior Associate Editor"}
+{"text": "In Practice, and The World Allergy Organization Journal and chaired by Mariana Castells, MD, PhD, and Pascal Demoly, MD, PhD.This article is one of a series of international consensus documents developed from the International Drug Allergy Symposium held at the Joint Congress of the American Academy of Allergy, Asthma & Immunology/World Allergy Organization on March 1, 2018, in Orlando, Florida, USA. The symposium was sponsored by The Journal of Allergy and Clinical Immunology, The Journal of Allergy and Clinical Immunology: The prevalence of self-reported drug allergy has been reported up to 8% in the general population and thatDHRs have a significant impact on clinical practice, socio-economy, drug development, and public health. Although tremendous progress has been made over the past two decades in the understanding of the mechanisms of drug allergy and hypersensitivity and their management, several unmet needs remain. Several task forces with representatives from the key stakeholders have identified the critical data gaps and opportunities and made recommendations on how to overcome some of the barriers to DHRs research and address research needs , 6, 7. WEpidemiologic risk factors for DHRs are not well characterized and may be influenced by regional/national differences in drug prescriptions. All drugs can induce DHRs, but the incidence and risk factors for individual drugs have been poorly defined. The development of a network that can increase the population size from which to capture data on DHRs would be a major advance. The establishment of such a network would need the concomitant development of unique DHR databases collecting standardised data, the nature of which would have to be defined on the basis of expert consensus. The development of such a database would have huge benefits in validating diagnostic procedures and defining the risk factors associated with DHRs. It would permit personalized analysis at the individual level and the country level , and would allow longitudinal assessment of the safety of new drugs. It would overcome the major limitation of spontaneous reporting, i.e. under-reporting, by engaging interested clinicians involved in the network. It would assess the socio-economic impact of DHRs, drug allergy pathways, and allow follow-up studies .One of the major reason why we are still lacking reliable in vitro tests is due to a lag in the understanding of the mechanisms of most DHRs. Drugs are capable of inducing all the types of immunological reactions described by Gell and Coombs, with the most common being IgE and T-cell mediated reactions . Drugs c(1) identifying the differences in standard management in the field, (2) providing evidence-based data supporting the different approaches, (3) developing potential expert opinion regarding best practices, and (4) designing future pragmatic research and clinical studies to evaluate outcomes. In order to guide and standardize the approach, we asked them to summarize the current knowledge on their topic in terms of (1) what we knew and what we have (most recently) learned, (2) what is (still) controversial and/or done differently in different institutions or geographical areas , (3) what consensus recommendations can be made now? , and (4) list the unmet needs . The individual controversy and consensus statements are being concurrently published [With the above in mind, the editors of The Journal of Allergy and Clinical Immunology, The Journal of Allergy and Clinical Immunology: In Practice, and The World Allergy Organization Journal sponsored the International Drug Allergy Symposium. This symposium, which was held March 1, 2018 during the American Academy of Allergy, Asthma and Immunology (AAAAI)/World Allergy Organization (WAO) Joint Congress in Orlando, Florida, aimed at developing a series of international consensus documents. The controversies were grouped into five categories: 1) Penicillin and cephalosporin testing, 2) Radiographic contrast media, 3) In vitro testing, 4) Testing for delayed reactions, and 5) Drug allergy pathways. The information was presented by team leaders and discussed thoroughly in person and then evaluated by an expanded group of more than fifty experts around the world. Experts were asked to focus on ublished \u201313. ThisThe group on penicillin and cephalosporin testing identifiThe group on radiographic contrast media (RCM) testing classifiThe group on in vitro testing reviewedThe group on testing for delayed reactions identifiThe group on drug allergy pathways identifi"}
+{"text": "Despite the well-documented clinical and public health impacts of palliative care on older patients\u2019 end of life experiences, racial and ethnic disparities in palliative care use still remain. However, empirical evidence on the sources of disparities is lacking, particularly for Asian Americans. Given the rapid growth and increasing cultural diversity of the older Asian population in the United States, a systematic review was conducted to provide a comprehensive overview of the best available evidence on the barriers to palliative care use among Asian Americans. Search was conducted using six electronic databases , and all procedures of the study have been guided by Preferred Reporting Items for Systematic Reviews and Meta-Analysis Protocols (PRISMA-P). A total of 23 studies published in the U.S. since 1998 were included. Individual level barriers to palliative care service use among Asian Americans identified by the study included lack of palliative care knowledge, lack of insurance, cultural beliefs, language barrier, attitude toward death, family centered decision-making. Provider level barriers included lack of training and experience about palliative care, patient-provider discordance in language and culture, and absence of policy or guidance for providers. Although racial disparities in palliative care for Asian Americans were evident, Asian Americans were underrepresented in palliative research. Future research effort should be directed toward the development of culturally sensitive palliative care services and policies that reduce racial and ethnic specific barriers."}
+{"text": "The evolution of the various hearing adaptations is connected to major structural changes in nearly all groups of vertebrates. Besides hearing, the detection of acceleration and orientation in space are key functions of this mechanosensory system.The symposium \u201cshow me your ear \u2013 the inner and middle ear in vertebrates\u201d held at the 11th International Congress of Vertebrate Morphology (ICVM) 2016 in Washington, DC (USA) intended to present current research addressing adaptation and evolution of the vertebrate otic region, auditory ossicles, vestibular system, and hearing physiology. The symposium aimed at an audience with interest in hearing research focusing on morphological, functional, and comparative studies. The presented talks and posters lead to the contributions of this virtual issue highlighting recent advances in the vertebrate balance and hearing system. This article serves as an introduction to the virtual issue contributions and intends to give a short overview of research papers focusing on vertebrate labyrinth and middle ear related structures in past and recent years. With the increasing application of high resolution and noninvasive computer tomography since the 1980s, 3D visualization and their respective analyses became essential for anatomical studies of the middle and inner ear.The vertebrate ear combines two main functions: balance and hearing. The vestibular part of the inner ear is the organ of equilibrium detecting head and body movements during locomotion . The semicircular canals (SCs) of the vestibular system detect angular acceleration, while utricule and saccule detect linear acceleration of elasmobranchs of the lateral line receptors and the labyrinth differs anatomically from the derived amniote ear in showing large and bulky stapedial bones (relative to braincase size) capable of the detection of substrate\u2010borne vibrations is the tympanum (tympanic membrane) overlying an air\u2010filled middle ear cavity with ossicles transmitting the sound to the oval window of the inner ear are able to close their external acoustic meatus with a meatal muscle, possibly for protection against mechanical damage or their own sound of nonmammalian amniotes, sounds bouncing off the skin surface are transmitted to the cochlear duct Manley, .In the 19th century, Georges Cuvier describeDiarthrognathus), which possess both functional jaw joints (primary and secondary) at the same time , incus (anvil), and stapes (stirrup) is laterally restricted by the ectotympanic ring and completely detached from the mandible Allin, . Complexe Allin, . The sege Allin, . Even ife Allin, , 1973. De Allin, conductee Allin, and Fleie Allin, .1.2The inner ear (labyrinth) of vertebrates comprises two main functions: (a) balancing of the individual using the ampullae of the three SCs and the sensory field of utriculus and sacculus, and (b) hearing ability with the sensory hair cells of basilar papilla of the lagena of nonmammalian amniotes . The inner ear is composed of a membranous system (membranous labyrinth) filled with endolymphatic fluid enclosed inside a bony endocast (bony labyrinth), filled with perilymphatic fluid. Both fluids differ in their concentration of potassium and sodium and early tetrapods, which remains unossified during embryogenesis (Clack, In jawless vertebrates, the number of SCs varies Retzius, . The vess Clack, . The rous Clack, , which es Clack, .In the 16th century, Bartholomeus Eustachius discovered the cochlear part of the ear, which was denoted by Gabriel Falloppio as \u201ccochlea\u201d in 1561 Gitter, . PolitzeEven though Hyrtl doubted The shape and number of coils of the mammalian cochlea is known to have a strong phylogenetic signal Ekdale, . MonotreThe evolution of the amphibian inner ear on its way to amniotes is controversially discussed Lombard, , 1976. T1.3Since the expanding availability of noninvasive microcomputed tomography anatomical investigations of the middle and inner ear region of extant and extinct vertebrates are of still growing interest to the scientific community addressing complex questions. For example, the evolution of the huge diversity of the membranous inner ear labyrinth morphology, the function of the vestibular system for detecting acceleration and deceleration of the head and related transmission of sensory signals, the evolution of the mammalian coiled cochlea for enhanced hearing capability, and many more. Recently conducted studies focus on phylogenetic signals to contribute to the tree of life and reveal ecological adaptations. The goal of the symposium held at the 11th ICVM was to exchange newly acquired insights, new technical approaches, and exchange of information addressing anatomical meaning of the bony structure of inner and middle ear related structures in the system of vertebrates.There are no Conflict of interests.All authors drafted the manuscript, and gave final approval for publication."}
+{"text": "To assess the public health risk to Singapore posed by the emergence of artemisinin-resistant (ART-R) malaria in the Greater Mekong Subregion (GMS).We assessed the likelihood of importation of drug-resistant malaria into Singapore and the impact on public health of its subsequent secondary spread in Singapore. Literature on the epidemiology and contextual factors associated with ART-R malaria was reviewed. The epidemiology of malaria cases in Singapore was analysed. The vulnerability and receptivity of Singapore were examined, including the connectivity with countries reporting ART-R malaria, as well as the preparedness of Singaporean health authorities. Sources of information include international journals, World Health Organization guidelines, data from the Singapore Ministry of Health and National Public Health Laboratory of the National Centre for Infectious Diseases, and the International Air Transport Association.The importation of ART-R malaria into Singapore is possible given the close proximity and significant travel volume between Singapore and the GMS countries reporting artemisinin resistance. Singapore\u2019s vulnerability is further enhanced by the presence of foreign workers from neighbouring endemic countries. Nonetheless, the overall likelihood of such an event is low based on the rarity and decreasing trend of imported malaria incidence.Anopheles vectors in Singapore, imported cases of drug-resistant malaria could cause secondary transmission. Nevertheless, the risk of sustained spread is likely to be mitigated by the comprehensive surveillance and control system in place for both infected vectors and human cases.With the presence of This risk assessment highlights the need for a continued high degree of vigilance of ART-R malaria locally and globally to minimize the risk and public health impact of drug-resistant malaria in Singapore. Plasmodium falciparum, P. vivax and P. malariae. , which comprises Cambodia, the Lao People's Democratic Republic, Myanmar, Thailand, Viet Nam and Yunnan Province of China, has long been the epicentre of antimalarial drug resistance. since 1982, Singapore is at risk of importation of emerging diseases including artemisinin-resistant (ART-R) malaria. In view of the emergence of resistance across the GMS and the spread beyond its borders, we carried out an analysis to assess the risk of importation and secondary spread of ART-R malaria infection in Singapore.The risk of importation of drug-resistant malaria into Singapore and the public health impact of its subsequent secondary spread in Singapore were assessed following WHO guidance on the risk assessment of acute public health events. gene was performed by the Malaria Reference Centre from the National Public Health Laboratory (MRC-NPHL) by polymerase chain reaction (PCR) amplification and sequencing according to the protocol of Ariey et al. followed by P. falciparum (22%).Among the 290 cases of malaria reported in Singapore between 2013 and 2017, 289 (99.7%) were imported cases, of whom 141 (49%) were work-permit or employment pass holders. The majority of imported cases were from South-East Asia (16%), Africa (16%) and India (62%). Among the cases imported from South-East Asia, most were from Indonesia and Malaysia, which accounted for 8% and 4% of cases, respectively. Most of the cases of malaria reported in Singapore between 2013 and 2017 were caused by P. falciparum cases tested had mutations possibly associated with artemisinin resistance Among cities outside the GMS, Singapore receives the highest number of travellers from the GMS , which was endorsed by all GMS countries. (To prevent global spread of artemisinin resistance, containment efforts have been initiated in the GMS. In 2015, WHO launched the The risk imposed to Singapore by the emergence of ART-R malaria was characterized using the information collected; key factors were considered to assess the likelihood of importation of cases into Singapore and the impact on public health (The risk characterization of likely based on the likelihood of importation and the according minimal consequence suggest that the overall risk of ART-R malaria to Singapore is low. The importation of a case of ART-R malaria into Singapore is possible given the close proximity and significant travel volume between Singapore and the GMS countries reporting artemisinin resistance. Singapore\u2019s vulnerability is further enhanced by the presence of foreign workers from neighbouring endemic countries. Nonetheless, the overall likelihood of importation is considered low based on the rarity and the decreasing trend of imported malaria incidence over the past few years.Anopheles vectors in Singapore, imported cases of ART-R malaria can cause secondary transmission. The risk of sustained spread is likely to be mitigated by the comprehensive surveillance and control system in place for both infected vectors and human cases as observed in the past local outbreaks of malaria initiated by imported cases.With the presence of P. falciparum cases in Singapore, 5.8% had genetic mutations that may confer resistance to artemisinin. The presence of competent local vectors, the high volume of travel from regions with ART-R malaria, and the presence of foreign workers from neighbouring endemic countries make it possible that drug-resistant malaria could be imported and introduced to Singapore. To reduce the risk of Singapore residents acquiring malaria infections overseas, pre-travel health education, particularly by travel agents, the media and health-care providers, can increase awareness of the risk of contracting malaria overseas so that personal preventive measures can be taken.Singapore is the top destination for travellers from the GMS. Among the imported Secondary spread following an imported case is also possible. However, any spread is not likely to be sustained. Malaria has not re-established itself as an endemic disease in Singapore despite local outbreaks since it was declared malaria-free in 1982. The Singapore health ministry and NEA have implemented comprehensive malaria surveillance and control programmes to detect cases and curb the transmission of local outbreaks.The risk assessment has some limitations. The assessment is based on limited data as the number of imported cases of malaria in Singapore is small. As the risk characterization was defined by the epidemiological and contextual knowledge available currently, conclusions could change as new information emerges. Ongoing studies on genetic mutations, particularly their underlying molecular and cellular mechanisms and their phenotypic manifestations in resistance, could provide a better understanding of an epidemic and facilitate the design of surveillance and control measures. Identification of new molecular markers and improvements in laboratory capability continues to impact disease surveillance as illustrated by the significant progress in global surveillance of artemisinin resistance expedited by the discovery of the molecular marker K13. (In conclusion, in view of the emergence of ART-R malaria in the GMS and its geographical expansion, this risk assessment highlights the need for a high degree of vigilance over the local and global situation to be maintained to minimize the risk and severity of the public health threat of ART-R malaria to Singapore."}
+{"text": "Quantifying the impact of climate change and human activities on grassland dynamics is an essential step for developing sustainable grassland ecosystem management strategies. However, the direction and magnitude of climate change and human activities in driving alpine grassland dynamic over the Tibetan Plateau remain under debates. Here, we systematically reviewed the relevant studies on the methods, main conclusions, and causes for the inconsistency in distinguishing the respective contribution of climatic and anthropogenic forces to alpine grassland dynamic. Both manipulative experiments and traditional statistical analysis show that climate warming increase biomass in alpine meadows and decrease in alpine steppes, while both alpine steppes and meadows benefit from an increase in precipitation or soil moisture. Overgrazing is a major factor for the degradation of alpine grassland in local areas with high level of human activity intensity. However, across the entire Tibetan Plateau and its subregions, four views characterize the remaining controversies: alpine grassland changes are primarily due to (1) climatic force, (2) nonclimatic force, (3) combination of anthropogenic and climatic force, or (4) alternation of anthropogenic and climatic force. Furthermore, these views also show spatial inconsistencies. Differences on the source and quality of remote sensing products, the structure and parameter of models, and overlooking the spatiotemporal heterogeneity of human activity intensity contribute to current disagreements. In this review, we highlight the necessity for taking the spatiotemporal heterogeneity of human activity intensity into account in the models of attribution assessment, and the importance for accurate validation of climatic and anthropogenic contribution to alpine grassland variation at multiple scales for future studies. Finally, the relative contribution of climatic and anthropogenic factors to alpine grassland changes can be identified by comparing the trends of NPPH and NPPP , and Aqua climatic force, (2) nonclimatic force, (3) combination of anthropogenic and climatic force, or (4) alternation of anthropogenic and climatic force. These views also show spatial inconsistencies and lack validation. The current challenges in distinguishing climatic and anthropogenic contributions to alpine grassland variation on Tibetan Plateau mainly include the uncertainties in quality of remote sensing products, uncertainties in the accuracy of models, especially for simulating the potential vegetation growth, and overlooking spatiotemporal heterogeneity of human activity intensity. Thus, it is necessary to evaluate the differences among the multiple remote sensing datasets before inputting some of them into the models of attribution assessment, to take the spatiotemporal heterogeneity of human activity intensity into account in the models, and further to improve the accuracy of models. We also proposed a framework for accurate validation of anthropogenic and climatic contribution to alpine grassland variation at multiple scales for future studies.None declared.Zhang Y. and Liu L. designed the study, and Li L. wrote most of the first draft. Wu J., Li S., and Zhang H. contributed to the analysis and interpretation of the results. Zhang B., Ding M., Wang Z., and Paudel B. contributed to revise the manuscript and provided conceptual advice. All authors contributed to final approval for publication.\u00a0Click here for additional data file."}
+{"text": "Axial sesamoiditis or osteitis of the proximal sesamoid bones (PSBs) in the horse is described as a rare condition. The cause remains unknown and speculative, with vascular, infectious and traumatic aetiologies implicated. It is specifically associated with injury of the palmar or plantar ligament (PL), also known as the intersesamoidean ligament. Imaging findings are generally rewarding, and radiological changes are typical, if not pathognomonic, for the condition. Lesions consist of bone lysis at the apical to mid-body axial margins of the PSBs, with variable degrees of joint effusion. Radiographic technique warrants careful attention to make a diagnosis, and exposure factors may need to be adjusted. Perineural, intra-articular and intra-thecal anaesthesia does not seem to provide consistent improvement of lameness in these cases, with literature reporting inconsistent findings. Ultrasonographic findings include digital flexor sheath effusion, loss of the normal fibre structure of the PL at its attachment to the PSBs, abnormal echogenicity or change in thickness of the PL, and irregular hyperechoic cortical margins of the axial margins of the PSBs. Scintigraphy, computed tomography and magnetic resonance imaging, although not necessary to make a diagnosis, may add valuable information regarding the location and extent of lesions. The prognosis remains guarded to poor for return to athletic function. The focus of this article is a comprehensive review of the proposed aetiopathogenesis of the condition, the prognosis and a summary of the literature findings with focus on the notable diagnostic imaging features, including radiography, ultrasonography, scintigraphy, computed tomography and magnetic resonance imaging. The PL is a thick collagenous structure firmly attached to the PSBs by a layer of fibrocartilage, creating a firm union between the two bones in the horse is described as a rare condition, with approximately 56 cases reported in the literature, with 32 of these cases described in the past 5 years , may be intermittent and is often of variable duration prior to presentation, with reports ranging from a few days to several months , intra-articular and intra-thecal (DFTS) anaesthesia do not seem to provide consistent improvement of lameness in these cases, with literature reporting inconsistent findings , lateromedial (LM), and two oblique views \u2013 dorsomedial-palmaro lateral oblique (DM-PaLO) and dorsolateral-palmaromedial oblique (DL-PaMO) uptake in the bone phase of the study of most lesions, with the exception of very small or inactive lesions findings have shown abnormal increased signal intensity within the ligament, and/or high signal intensity within the axial aspects of the sesamoid bones on short-Tau-inversion recovery (STIR) or proton density sequences, consistent with inflammation, necrosis or scar formation , infectious (degenerative neutrophilic fluid) and even normal findings described (Wisner et al. Arthroscopy of the palmar MCPJ or plantar MTPJ joint pouch reveals PL damage, consisting of fraying, discolouration and separation from the PSBs, and osteomalacia and osteochondral fragmentation of the axial borders of the PSBs (Dabareiner et al. Histopathological changes of the PL may range from acute to chronic, which is consistent with the duration of clinical signs (Wisner et al. Post-mortem findings usually consist of hyperaemia and defects or fissuring of the PL gliding surface and brown discolouration of the collagenous substance of the ligament (Wisner et al. Debate exists on the long-term outcome and prognosis of axial sesamoiditis. Evaluation of outcome was hampered in the past by several horses undergoing euthanasia without any treatment (Wisner et al. Septic forms generally carry a poor prognosis, and the general consensus appears to be that of a poor to guarded prognosis (Dunkerley et al. The Friesian breed has also been reported to carry an especially poor prognosis (Brommer et al. Axial sesamoiditis is a clinical entity in which the imaging findings are well documented and rewarding, but treatment and long-term outcome are often disappointing, and a poor prognosis can be expected in the majority of cases."}
+{"text": "Healthcare Technology Letters (HTL) journal dedicated to the 12th edition of the Joint International Workshop on Augmented Environments for Computer-Assisted Interventions (AE-CAI) and Cerebral Visualization (CereVis). We are pleased to present the proceedings of this exciting scientific gathering held in conjunction with the Medical Image Computing and Computer-Assisted Interventions (MICCAI) conference on September 16th, 2018 in Granada, Spain.Welcome to this Special Issue of the IET's The AE-CAI workshop series dates as far back as MICCAI 2006 in Denmark and has evolved as a forum to discuss the latest developments in Computer-Assisted Interventions (CAI). CAI is a field of research and practice, where medical interventions are supported by computer-based tools and methodologies. CAI systems enable more precise, safer, and less invasive interventional treatments by providing enhanced planning, real-time visualization, instrument guidance and navigation, as well as situation awareness and cognition. These research domains have been motivated by the development of medical imaging and its evolution from being primarily a diagnostic modality towards its use as a therapeutic and interventional aid, driven by the need to streamline the diagnostic and therapeutic processes via minimally invasive visualization and therapy.To promote this field of research, the AE-CAI workshop series seeks to showcase papers that disseminate novel theoretical algorithms, technical implementations, and development and validation of integrated hardware and software systems in the context of their dedicated clinical applications. This year's workshop is a joint effort between two communities \u2013 the AE-CAI community and the CereVis community. We joined forces back in June 2018 in light of our common interests in neuro-navigation and visualization for image-guided neuro-interventions.The objective of the AE-CAI & CereVis workshop has been to attract scientific contributions that offer solutions to the technical problems in the area of augmented and virtual environments for computer-assisted interventions, with CereVis contributions focusing on neuro-navigation and neuro-interventions, and to provide a venue for dissemination of papers describing both complete systems and clinical applications. The workshop attracts researchers in computer science, biomedical engineering, computer vision, robotics, and medical imaging.The workshop featured a single track that consisted of long and short oral presentations showcasing original research engaged in the development of virtual and augmented environments for medical image visualization and image-guided interventions. To foster networking and discussion, we also provided all authors with the opportunity to present their work as a poster in addition to their oral presentation slot.In addition to the contributed papers, we were pleased to welcome two keynote speakers: Dr. Klaus Engel and Dr. Terry Peters. Dr. Engel is an expert in visualization from Siemens Healthineers in Erlangen, Germany and spoke on cinematic rendering from medical imaging. Dr. Terry Peters is a pioneer in image-guided interventions from Robarts Research Institute at Western University in London, Ontario, Canada and spoke on current and future trends in mixed, augmented and virtual reality visualization in medicine.Healthcare Technology Letters journal. This year AE-CAI & CereVis received 20 manuscripts spanning a strong geographic representation from Europe, North America and Asia. The review process was rigorous and involved evaluation of each manuscript by three to five external reviewers. Following the first stage of review, sixteen manuscripts were further considered for major or minor revision, and resubmission. Authors were required to submit a response to reviewers and resubmit a revised manuscript that addressed all reviewers\u2019 critiques.All manuscripts submitted to the joint AE-CAI & CereVis 2018 were held up to journal standards, as the ultimate objective was to publish accepted work in this Special Issue of the IET's Once revised, all resubmitted manuscripts entered a second round of review conducted by the AE-CAI Program Committee, Workshop Chairs, as well as the HTL Managing Editor and Editor-in-Chief to ensure that all reviewers\u2019 critiques were properly addressed in the revised manuscripts and that the quality of the manuscript was appropriate for journal publication. All manuscript were then accepted for publication and forwarded to the journal for production and publication.On behalf of the AE-CAI & CereVis 2018 Program and Organizing Committee, we would like to extend our sincere gratitude to all authors, presenters, and attendees for their scientific contribution, enthusiasm, and support. We also extend special thanks to all reviewers for providing detailed and timely critiques of the submitted manuscripts. We also acknowledge the support we received from the MICCAI 2018 Workshop Committee, and the HTL Editorial Office for their dedication to maintaining the high quality of AE-CAI and CereVis workshops, and for selecting outstanding manuscripts that fostered exciting discussions at the meeting.Northern Digital Inc. (NDI) for their continued support over the years that has enabled us to recognize AE-CAI authors for their much deserved dedication and scientific enthusiasm through several paper awards. We also thank BrainLab for their generous sponsorship of the top papers presented as part of the neuro-imaging/navigation/visualization track encompassed by the CereVis workshop. A big thank you on behalf of all awardees and once again, sincere congratulations to all award winners!Last but not least, we acknowledge our generous sponsors. We thank CereVis Award Papers:by David ShattuckA Multiuser Virtual Reality Environment for Visualizing Neuroimaging Data, by Taylor Frantz; Bart Jansen; Johnny Duerinck; Jef VandemeulebrouckeAugmenting Microsoft's HoloLens with Vuforia Tracking for Neuronavigation, by Reid Vassallo; Hidetoshi Kasuya; Benjamin Lo; Terry Peters; Yiming XiaoAugmented reality guidance in cerebrovascular surgery using microscopic video enhancement, AE-CAI Award Papers:by Gavin Wheeler; Shujie Deng; Nicolas Toussaint; Kuberan Pushparajah; Julia Schnabel; John Simpson; Alberto Gomez HerreroVirtual Interaction and Visualisation of 3D Medical Imaging Data with VTK and Unity, by Long Qian; Anton Deguet; Peter KazanzidesARssist: Augmented Reality on a Head-Mounted Display for the First Assistant in Robotic Surgery, by Ehsan Azimi; Tianyu Song; Chenglin Yang; Omid DianatEndodontic Guided Treatment Using Augmented Reality on a Head-Mounted Display System, by Andrew Speers; Burton Ma; William Jarnagin; Sharifa Himidan; Amber Simpson; Richard WildesFast and accurate vision-based stereo reconstruction and motion estimation for image-guided liver surgery, We hope that you will enjoy reading this Special Issue and we look forward to your continuing support and participation in future editions of the AE-CAI & CereVis workshops. Their continued success demands our ongoing commitment.Cristian A. Linte, Rochester Institute of Technology, USAMarta Kersten-Oertel, Concordia University, CanadaZiv Yaniv, National Institutes of Health and TAJ Technologies, USAYiming Xiao, Western University, CanadaCaroline Essert, University of Strasbourg, FrancePierre Jannin, University of Rennes IJonathan Lau, Western University, CanadaPhilip Pratt, Imperial College London, UKIngerid Reinertsen, SINTEF, NorwayHassan Rivaz, Concordia University, Canada"}
+{"text": "The findings of recent research on drinking patterns and problems among African-Americans can be summarized as follows: (1) African-Americans report higher abstention rates than do whites; (2) African-Americans and whites report similar levels of frequent heavy drinking; (3) rates of heavy drinking have not declined at the same rate among African-American men and women as among white men; and (4) variables such as age, social class, church attendance, drinking norms, and avoidance coping may be important in understanding differences in drinking and drinking problem rates among African-Americans and whites. Limitations of the research are described and suggestions are made for possible directions for future research. Alcohol studies on African-Americans make up a small but growing body of research. The limited research that does exist has focused on a number of issues, including patterns and determinants of drinking and drinking problems. This article reviews recent studies examining the drinking patterns and problems of adult African-Americans. Studies of African-Americans have, for the most part, involved comparisons of drinking patterns and drinking problems among African-American and white populations. This review therefore focuses primarily on studies of that type. After discussing drinking patterns and problems among African-Americans, the article describes some of the possible determinants of drinking patterns in that population.The term \u201cdrinking patterns\u201d refers to various styles of drinking, such as abstention or heavy drinking. Categories of drinking patterns frequently are based on indexes of quantity and frequency or on assessments of the volume of alcohol consumed by a person in a given period of time. Unless otherwise noted, terms describing drinking patterns are based on the definitions used in the studies being discussed.National surveys examining the prevalence of drinking in African-American populations indicate that African-Americans report lower rates of alcohol use than whites. In 1997, according to the National Household Survey on Drug Abuse, 53 percent of African-Americans and 68 percent of whites reported drinking in the past year . The difHeavy drinking increases the risk of drinking problems; researchers therefore often focus on heavy drinking when comparing African-American and white drinkers. Data from the National Alcohol Survey show thaPanel studiesTwo of the most widely studied indicators of drinking problems include drinking consequences and alcohol dependence symptoms. Drinking consequences are concrete problems that arise in different areas of a person\u2019s life because of drinking . Alcohol dependence symptoms refer to a set of behaviors and experiences associated with alcoholism or addiction, such as withdrawal and blackouts . Some stLongitudinal surveys have focused on changes in drinking-problem indicators and alcohol-related mortality among African-Americans and whites. Rates of alcohol dependence symptoms and drinking consequences remained stable from 1984 to 1995 among African-American and white men and women see tab, p. 262.Some of the most promising studies on drinking problems have examined the relationships between race, social class, and drinking problems. Studies in this area have focused on two central hypotheses. The first hypothesis is that adjusting for social class may eliminate racial and ethnic differences in drinking problem rates. To summarize, studies comparing self-reported drinking problems in African-American and white populations have yielded mixed results. Some studies have shown that African-Americans report more drinking problems than do whites, whereas other studies have reported no significant differences between the two groups. Higher social class appears to be a protective factor for African-Americans against the effects of race on drinking problems. Continuing research is needed to understand the effects of social class status on drinking problems among African-Americans.For the most part, research on drinking patterns and drinking problems in African-American populations has not been based on theory. Nevertheless, etiological studies of drinking patterns and drinking problems in African-American populations have focused on a wide range of demographic, biological, environmental, and behavioral variables.Sex, age, income, education, and employment status have been shown to be related to drinking patterns and drinking problems in both African-American and white populations a, 1997. In addition to demographic variables, studies also have examined whether a family history of alcohol problems contributes to drinking problems. Two of the studies reviewed for this article reported\u2014and many researchers agree\u2014that a family history of drinking problems is an important correlate of drinking behavior . People Studies have examined the influence of stress, parental and peer attitudes about drinking, drinking norms, and drinking contexts on drinking patterns and problems among African-Americans. To see how stress influenced drinking, Studies have consistently found a positive relationship between drinking and drinking problems\u2014that is, as drinking increases, drinking-related problems increase . IncreasResearch regarding drinking patterns and drinking problems in African-Americans can be summarized as follows:African-Americans report higher abstention rates than do whites.African-Americans and whites report similar levels of frequent heavy drinking.Rates of heavy drinking have not declined at the same rate among African-American men and women as among white men.Variables such as age, social class, church attendance, drinking norms, and coping behaviors may be important in understanding differences in drinking and drinking problem rates among African-Americans and whites.Studies examining the determinants of drinking patterns and problems suggest that demographic and psychological variables may be important in understanding the differences in drinking patterns and drinking problems among African-American and white men and women. Despite the wide range of variables that have been studied, however, notable gaps exist in the research. None of the studies reviewed examined the effects of illicit drugs and tobacco use, the concentration of stores selling alcohol in a given area , or exposure to alcohol through the mass media on drinking patterns and drinking problems. The scant research on alcohol outlet density and media exposure is surprising, given the large number of alcohol outlets in many African-American inner cities and efforts by the alcohol industry to target African-Americans . Future studies should focus on those variables. In addition, few studies have included other ethnic populations, such as Asians and American Indians; those studies are needed to investigate the reasons behind the different trends in heavy drinking patterns for different ethnic groups.Continuing research is needed on the drinking patterns and drinking problems of African-Americans to address current gaps in knowledge. To ensure that interventions and policies to reduce drinking problems in African-American populations are guided by sound research, future studies will need to be theory based; use a wide range of study designs and variables; and include comparisons with other ethnic groups, such as Hispanics, Asians, and Native Americans. Panel studies also are needed to better understand changes in drinking patterns of African-Americans over time."}
+{"text": "Wilting disorder is an abnormal condition characterized by weakness and paralysis of the upper and lower extremities. Pathogenesis and treatment target of the disorder are unclear; hence, allopathic treatment is generally used to relieve the symptoms. To investigate the treatment mechanism and effect of Traditional Korean Medicine (TKM) in patients with wilting disorder, we reviewed in vivo studies that focused on the effect of TKM on the main symptoms of wilting disorder and treatment of the diseases that can cause these symptoms. We electronically searched the PubMed, Cochrane, and CNKI databases using the following search terms: (weakness OR motor function disorder) AND . We selected 11 studies that demonstrated the effect of TKM treatment on the main symptoms of wilting disorder. In these studies, inducted models of amyotrophic lateral sclerosis, myasthenia gravis, Duchenne muscular atrophy, polymyositis, and Guillain-Barre syndrome were used. With regard to treatment, herbal medicine was used in five studies, and acupuncture and bee-venom pharmacoacupuncture were used in three studies each. Future research is needed to determine the effectiveness of TKM treatment in patients with diseases that can cause the main symptoms of wilting disorder. Wilting disorder, also called \u201cWei-syndrome\u201d in Traditional Korean Medicine (TKM), is defined as an abnormal condition characterized by weakness and paralysis of the upper and lower extremities in the Korean Standard Classification of Disease and Cause of Death (KCD classification). The main symptoms of Wilting disorder are loss of muscle tone in the weakened or paralyzed parts, decrease in muscle strength, and decrease or disappearance of reflexes. In the TKM, the cause of wilting disorder is divided into the factors outside of the body and the factors inside of the body. The external factors include the traumatic events or overwork that can damage bones, joints, and soft tissues, fever causing neurologic dysfunction, and disease which have long morbidity period. The internal factors include energy reduction caused by wrong lifestyle or diseases and malfunctioning of viscera such as liver, heart, spleen, lung, and kidney , 2.There have been arguments between TKM doctors about the TKM treatment of wilting disorder, but the mechanisms and treatment effects of each treatment have remained unclear, despite many modern studies on wilting disorder in TKM , 2.The purpose of this study was to review clinical studies focusing on the treatment mechanisms and effects of TKM treatments on wilting disease. A modern study focusing on wilting disorder suggested that diseases such as myasthenia gravis, Guillain-Barre syndrome, amyotrophic lateral sclerosis, paralysis, polymyositis, and muscular dystrophy could manifest clinical signs similar to those of wilting disorder, such as weakness, paralysis, and loss of motion .So we tried to investigate the treatment mechanisms and effects of TKM treatments in these diseases. This study aimed to investigate the research trends of TKM treatment for diseases that can cause wilting disorder through utilizing various databases and analyze the results. This process will provide information and evidences of TKM treatment to treat wilting disorder in clinical practice and designing a clinical research about TKM treatments.We searched the PubMed, Cochrane, and CNKI databases from inception through April 2018. No language limitation was applied. Key search terms were AND (weakness OR motor function disorder) AND .The data were extracted and grouped using a data extraction form that included the animal , the disease model type , the type of intervention, and the outcome measures . The data were extracted primarily by one author and checked by all other authors.We extracted 159 studies by using our key terms and read their titles and abstracts. Out of these 159 articles, 89 records remained after the duplicates were removed. Of these 89 articles, six articles were systematic review or review of literature, and 23 articles were case reports. There were 29 articles not satisfying intervention criteria; and 11 articles were not research studies on the treatment effect. Nine articles were excluded because of improper group-setting. After screening, we selected 11 animal model studies for analysis . We analWilting disorder can occur because of the abnormality of the muscle, neuromuscular junction, peripheral nerve, and lower and upper motor neuron.The main symptoms of wilting disorder include flaccid palsy, muscle atrophy, loss of reflex, muscular fasciculation, muscular contracture, and reaction of degeneration. Diseases that could cause this condition include myasthenia gravis, Guillain-Barre syndrome, amyotrophic lateral sclerosis, multiple sclerosis, paralysis, polymyositis, and muscular dystrophy.Myasthenia gravis is an autoimmune disease that results from abnormality of the neuromuscular junction. The pathogenesis involves the action of antibodies to block or destroy nicotinic acetylcholine receptors at the neuromuscular junction between the nerve and muscles and eventually prevent nerve impulses from triggering muscle contractions. The main symptoms of myasthenia gravis are painless weakness of specific muscles. The weakness becomes progressively worse during physical activity and improves at rest. Several in vivo studies have reported the effectiveness of TKM treatment with curative intent in patients with this autoimmune synaptopathy . In an aThe area and the integrated optical density of the immunoreactivity for the acetylcholine receptor at the neuromuscular junction of the phrenic nerve were significantly increased following acupuncture treatment .Another study investigated the protective role of herbal medicine, Sizunzi decoction, in the neuromuscular junction. Intervention with Sizunzi decoction resulted in the findings of close to normal NMJ structure and significantly increased expression of the acetylcholine receptor and agrin .Amyotrophic lateral sclerosis (ALS) is a disease characterized by abnormal function of the voluntary muscles. This malfunction results from death of the neurons which control voluntary muscles . ALS is Most of the studies have focused on bee venom pharmacoacupuncture at the Zusanli (ST36) acupoint. An animal study investigating the effect of bee venom pharmacoacupuncture on the central nervous system and muscle in an animal model of ALS showed that bee venom treatment at the Zusanli acupoint significantly enhanced motor function and decreased motor neuron death in the spinal cord compared to the control group. Furthermore, this treatment eliminated downstream signaling of inflammatory proteins, such as TLR4, in the spinal cord, and reduced levels of TNF-alpha and Bcl-2 expression in the ALS animal model .In another similar animal study, bee venom treated animals reported decreased expression levels of microglia marker and phospho-p38 MAPK in the spinal cord and brainstem; moreover, treatment with bee venom improved motor activity in animals with symptomatic ALS .Another study explored the effect of electroacupuncture treatment at the Zusanli acupoint. This study reported that ALS animal models treated with electroacupuncture showed a decrease in microglial cell activity and TNF-alpha expression in the spinal cord and brain stem. In addition, the treatment significantly improved motor activity compared to that in the control group and reduced neuronal cell loss in the ALS model .In a study investigating the effect of an herbal medicine, Wen-Pi-Tang, on the ALS animal model showed that the Wen-Pi-Tang treatment inhibited neuronal loss in the lumbar segment of the spinal cord of mice. In addition, astrocytes and CD11b positive microglial cell in the spinal cord that increase prior to neuronal loss were significantly reduced in the Wen-Pi-Tang treated group .Multiple sclerosis is a demyelinating disease with three main characteristics: plaque formation, inflammation, and destruction of the myelin sheaths of neurons. The insulating covers of nerve cells in the brain and spinal cord are damaged and this disrupts the ability of parts of the nervous system to communicate, resulting in muscle weakness and motor dysfunction . Apart fIn a study investigating the effect of bee venom in suppression of motor neuron loss and microglial cell activation, bee venom was injected at the Zusanli (ST36) acupoint in the experimental group. As a result, the symptoms of clinical disorder, pathologic changes, inflammatory cell infiltration, demyelination in the central nervous system, and levels of TNF-alfa, and serum nitrates were decreased in the multiple sclerosis model .Another study investigated whether Hyung bangpaedok-san (HBPDS), a traditional herbal medicine, has a beneficial effect in the multiple sclerosis model in rats. Onset-treatment with HBPDS alleviated neurological signs, reduced demyelination and the infiltration of microglia and macrophages, and reduced the mRNA expression of proinflammatory cytokines and chemokines in the spinal cord .Guillain-Barre syndrome is a rapid-onset muscle weakness caused by immune system-mediated damage to the peripheral nerve system. The muscle weakness begins in the feet and hands. This often spreads to the arms and upper body with bilateral involvement. The cause and mechanism of this disease is unknown .A study investigated the mechanism of electro acupuncture at the Shu-points of the five zang-organs for treatment of Guillain-Barre syndrome. In this study, electroacupuncture treatment increased the sciatic nerve movement conduction velocity and decreased the abnormal F wave incidence rate of the sciatic nerve in the Guillain-Barre syndrome model group .Duchenne muscular dystrophy is a severe type of muscular dystrophy caused by X-linked recessive gene. The muscular weakness is associated with muscle wasting of the voluntary muscles. The hips, pelvic area, thighs, shoulders, and calves are the first to be affected; subsequently, muscle weakness occurs in the arms, neck, and other areas .A study accessed the effects of herbal medicine on Duchenne muscular dystrophy. This study showed that the Liu-Wei-Di-Huang-Wan (LDW) and San-Lin-Pai-Tsu-San (SPS) can facilitate locomotor activity with the parameters of horizontal activity, total distance, number of movements, movement time, vertical activity, number of vertical movements, and vertical movement time .Polymyositis is a chronic inflammation of muscles related to dermatomyositis and inclusion body myositis. The hallmark of this disease is weakness and loss of muscle mass in the proximal musculature, as well as flexion of the neck and torso .A study investigated the therapeutic effects of Radix Bupleuri and Ramulus Cinnamomi on the polymyositis model. The herbal medicine treatment significantly increased expression of MyoD and myogenin and the function of myosin heavy chain and activated the Akt/mTOR pathway. In addition, the treatment suppressed the TNF-alpha activation .Due to lack of understanding of the cause and mechanism of wilting disorder, allopathic treatment is generally used to relive the patients' symptoms of pain and weakness. We reviewed the in vitro studies focusing on diseases that can cause the symptoms of wilting disorder and reported our results. Our results indicated that TKM was effective in improving the electrophysiological status, histological and biochemical measurement values, and motor function value index, especially in animal models of myasthenia gravis, amyotrophic lateral sclerosis, and multiple sclerosis. However, there was lack of evidence for the TKM treatment effect in the Guillain-Barre syndrome, Duchenne muscular atrophy, and polymyositis models.This study has some limitations. First, the use of limited search strategies returned a small number of studies. However, very few studies have been reported on the effect of TKM on wilting disease. Second, it was difficult to follow a strictly standardized method of analysis because of limited access to complete data from the studies. Future research is required to fully evaluate the effectiveness of TKM treatment in animal models."}
+{"text": "Renal cell carcinoma (RCC) is the most common tumor of the kidney. After diagnosis, 20\u201330% of patients will relapse, with a high probability of death from cancer-related causes. The development of non-invasive biomarkers will allow the identification of patients with a high risk of recurrence after radical or partial nephrectomy and will improve the assessment of tumor response to targeted therapy or immunotherapy. The search for non-invasive diagnostic techniques represents one of the most difficult challenges for cancer researchers. The contemporary scenario includes a variety of strategies that share the aim of maximally reducing the impact of the diagnosis on patients' quality of life (QoL). In this context, liquid biopsy offers a promising perspective for cancer diagnosis and monitoring, with several advantages compared to traditional diagnostic procedures . Indeed,The liquid biopsy of circulating tumor cells (CTCs), which belong to the larger family of circulating rare cells (CRC), has been validated and approved by the US Food and Drug Administration (FDA) as a useful prognostic tool in a variety of cancer types . This isIn the last decade, several studies have investigated the clinical and pathological significance of CTC numbers and characteristics in patients with urogenital cancers , 7. In vVon Hippel\u2013Lindau (VHL) gene and include LOH at 3p and epigenetic silencing. VHL inactivation is a crucial event in the majority of clear cell RCC and represents the only ubiquitous event, in contrast from the other genetic and/or epigenetic aberrations reported which are just subclonal \u201319 and tThe collection, identification, enrichment, and analysis of CTC require the use of different methods, including the following: (1) Epithelial or non-epithelial marker-dependent isolation; (2) RT-PCR-based methods; (3) and morphological- and cell size-based detection .The first method consists of the detection of CTCs through epithelial markers, such as the epithelial cell adhesion molecule EpCAM, . EpCAM iCAIX, VHL and Cadherin-6 (CDH-6) . VHL genof cases . On the samples .The third method is built upon size-based blood filtration combined with morphological and genetic analyses. The need to associate different techniques derives from the evidence that cytomorphological classification alone is not sufficient to detect CTCs in RCC patients . InteresThe survival mechanisms underlying the circulation and migration of CTCs depend on multiple factors. Their biological characteristics, genetic alterations, epithelial mesenchymal transition, and cancer stem cell properties are internal factors that influence their survival. Great importance is now also being attributed to the external factors in the bloodstream microenvironment, consisting of platelets, immune cells, cytokines, and circulating tumor microemboli (CTM) .ex vivo expanded CTC lines, administration of digitoxin significantly inhibited the capacity of CTC clusters to generate metastases are being developed to better characterize CTCs. With this method, independent of cell size variation, and free of hypotonic damage as well as anti-EpCAM perturbing, it is possible to karyotype chromosome ploidy of CTCs and phenotype multi-protein expression. Among different cancers, an aneuploid chromosome 8 (tetraploid or polyploid) identified a positive CTC combined with immunostaining-fluorescence tive CTC \u201344. Thistive CTC , 46.A novel straight microfluidic chip technology to focus and capture CTCs has been applied in head and neck cancer patients. The microchip is designed based on inertial migration of cells in a straight microchannel and allow to isolate single CTCs, CTCs clusters, and CTM by a size-based method, with high recovery efficiencies and low background cell contamination , 48.In future years, technical advances should aim to isolate a greater number of CTCs in metastatic patients than in patients with localized disease and to find the same mutations present in the correspondent histologic sample or, especially, in the metastatic cohort. In our opinion, this could be realized by improving the connection between cytomorphological and genetic analyses, thus overcoming the limits of present techniques, which can be challenging and time-consuming. Indeed, the specificity of CAIX and CDH-6 for CTCs in RCC patients is poor and could be increased only by the design of studies focused on comparing CTCs isolated from patients with clear cell and from patients with benign kidney diseases or healthy volunteers.We hope that in future years whole genome, transcriptome, and proteome analyses of single cells could lead to an increase in our knowledge of tumor heterogeneity and acquired drug resistance. In the localized RCC setting, CTCs could have potential as a surveillance biomarker for disease recurrence. Earlier detection of metastatic RCC, prior to the onset of symptoms, may lead to improved clinical outcomes. In patients with metastatic disease, CTC analysis could be used to select patients for biomarker-guided clinical trials. As in colorectal cancers, the mutational profile of metastatic RCC could evolve after treatment progression, developing an acquired resistance to therapy potentially investigable in a non-invasive way with CTCs. Moreover, the introduction of data on CTCs within the TNM classification represents another step forward on the route of personalized medicine for RCC patients.RCC may benefit from the development of non-invasive and reliable biomarkers, enabling early and timely personalized treatment changes. The introduction of CTC analysis within daily clinical practice for patients with RCC seems still far at the moment. However, the advances obtained in the last 5 years in isolating and analyzing CTCs bring optimism about the future therapeutic landscape in RCC patients.RM and MSc: conception and design; MSa, AC, and FM: drafting the manuscript; NB and ABG: review of the literature; LC, SB, and AL-B: critical revision of the manuscript.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Health systems face increasingly complex challenges, such as the growing burden of chronic noncommunicable diseases, multisource pollution, new epidemics and antimicrobial resistance. These challenges have prompted an important shift in focus from curative care to health promotion and disease prevention, as well as the development of new models of service delivery, financing and governance for primary health care.Global health stakeholders are pushing for renewed commitments to enhance primary health care in the 21st century, in light of the 2018 Declaration of Astana.Achieving the health-related sustainable development goals (SDGs), including universal health coverage (UHC), will not be possible without stronger primary health care.\u2013Most people not covered by essential health services belong to disadvantaged groups. Primary health care can address this issue because it enhances equity and is the most feasible approach to reach people.However, in many low- and middle-income countries, primary health-care systems are weak and do not provide sufficient high-quality, comprehensive, people-centred and integrated care. In addition, the core principles of empowering people and strengthening health systems are often overshadowed by short-term interventions, with countries attempting to meet an overwhelming number of programme-specific targets that are dependent on donor priorities and funding. This situation highlights the need to strengthen comprehensive primary health-care systems based on local priorities, needs and contexts. These systems should be co-developed by people who are engaged in their own health.Implementation and systems reforms of primary health care are also challenged by the lack of contextualized knowledge and scarcity of research on effective and acceptable approaches to strengthen primary health care, especially in low- and middle-income countries. Primary health-care research that is applicable to different health systems settings is needed.Bulletin of the World Health Organization will publish a theme issue on advancing the science and practice of primary health care as a foundation for UHC. The theme issue aims at providing a forward-looking view of the innovations, challenges and shared responsibilities in driving primary health care, and at filling gaps and fostering discussions around what is needed to implement a primary health-care vision towards UHC. To tackle these challenges, the We welcome manuscripts that capture learnings and experience in the implementation of primary health-care policies and interventions as well as the strengthening of primary health-care systems. The ability of countries to fulfil the commitments made in the Declaration of Astana depends on the active engagement of various stakeholders of primary health care. We therefore encourage analysis of challenges, contextualized research, good practices and innovations in enhancing primary health care at the national or sub-national level, with a strong focus on stakeholder engagement and impact on population health and equity. Papers could focus on, for example, multisectoral action for primary health care and equity, implementation research and analysis of health systems reforms, bridging the gaps in workforce, digital health, quality improvement and the contribution of primary health care in advancing UHC and the SDGs.Documenting good practices on effective approaches to engage and empower people, communities, youth and other stakeholders will also be useful to support efforts enhancing the responsiveness and people-centeredness of primary health care. The theme issue will focus on cross-cutting themes and challenges of primary health care affecting all countries, but we also encourage submission of experiences from low- and middle-income countries and conflict-affected and humanitarian settings, as well as comparative cross-country analyses.Bulletin\u2019s guidelines for contributors (available at: http://www.who.int/bulletin/volumes/96/1/18-990118/en/) and the cover letter should mention this call for papers.The deadline for submission is 30 November 2019. Manuscripts should be submitted in accordance with the This theme issue will be launched at the Global Symposium on Health Systems Research in Dubai in 2020."}
+{"text": "Long-distance caregiving (LDC) is a growing phenomenon and common experience for caregivers of frail older adults. In fact, 11% of family caregivers in the US live more than two hours distance from the care recipient (CR). Unfortunately, there is a paucity of research on unique experiences of LDCs and the impact of LDC on the mental health of LDCs. This symposium presents findings from the NIA funded Fordham Long-Distance Caregiving Study (R21AG050018) analyzing data of 304 long-distance caregivers (LDCs). The overall study goal was to better understand how LDCs deal with the structural constraint of distance, and to examine LDC consequences and resources. First, Horowitz presents the study background, characteristics of the sample, and provides a description of the unique experiences of LDCs. Next, Cimarolli concentrates on the Sociocultural Stress Process Model applied to LDC. Her study tested the impact of LDC on mental health and investigated resources which could mediate the association between caregiving stressors and mental health outcomes. The third paper presents data related to satisfaction with formal service providers for four subgroups of LDCs based on CR residence and dementia status. Finally, Jimenez focuses on the characteristics of LDCs\u2019 network of other informal caregivers (IC) providing assistance to the CR and factors are associated with more help received from other ICs. Dr. Pruchno, an expert in caregiving research, will discuss study findings. The symposium provides insights into unique experiences of LDCs, the impact of LDC on mental health, and resource use among LDCs."}
+{"text": "Drosophila melanogaster are derived from the imaginal discs, epithelial sac-like structures specified in the embryo that grow and pattern during larva development. In the last decades, genetic and developmental studies in the fruit fly have provided extensive knowledge regarding the mechanisms that direct the formation of the appendages. Importantly, many of the signaling pathways and patterning genes identified and characterized in Drosophila have similar functions during vertebrate appendage development. In this review, we will summarize the genetic and molecular mechanisms that lead to the specification of appendage primordia in the embryo and their posterior patterning during imaginal disc development. The identification of the regulatory logic underlying appendage specification in Drosophila suggests that the evolutionary origin of the insect wing is, in part, related to the development of ventral appendages.Appendages are external projections of the body that serve the animal for locomotion, feeding, or environment exploration. The appendages of the fruit fly Molecular and genetic studies in the fruit fly, Drosophila melanogaster, have provided the basis of appendage development and served for comparative analysis with other arthropods . ,19. 8,19lication ,21. The lication ,22,23,24lication ). Thereflication ,22,23.snail (sna) and vg genes, while the VP expresses Distal-less (Dll) and the Sp family members Sp1 and buttonhead (btd) . TDll gene . At the Dll gene ,67 in posterior cells. Compartment boundaries are the source of signaling molecules that organize the pattern and growth of the imaginal disc [After the specification stage in the embryonic ectoderm, each imaginal primordium follows a developmental program in which the same signaling pathways and an increasing number of transcription factors cooperate to pattern the growing epithelium. In this process the size of each disc increases by cell proliferation, and the epithelium is progressively divided into domains of gene expression that confer each territory with particular cell identities. A common aspect of all thoracic discs is their division in A and P compartments conferred by the expression of nal disc . In thisAntp is the selector Hox gene for leg identity that is expressed in the leg imaginal disc but not in the antenna disc. As expected for its selector function, Antp mutant legs are transformed into antenna and Antp ectopic expression in the antenna converts it into leg [hedgehog (hh) which acts as a short-range signal that activates the expression of dpp and wg in the anterior dorsal and ventral halves of the disc, respectively [H15 and midline (mid) and the repression of dorsal genes such as Doc and optomotor blind (omb) [wg mutants all the ventral structures are lost and replaced by a mirror duplication of dorsal ones and the reverse phenotypes are observed for dpp mutants [The third instar leg imaginal disc is roughly circular in shape with the distal-most region of the leg located in the center of the disc, and the most proximal leg segments and the pleura arising from the periphery of the disc. into leg . The legectively . Dpp andectively ,78,79,80nd (omb) ,81. Ther mutants ,78,80,82Dll [dachshund (dac) in the medial domain of the leg disc, whereas high levels of Wg and Dpp represses its expression in the distal tip [Dll and dac expression is maintained in part by autoregulatory mechanisms [hth is restricted to the periphery of the disc by a Wg and Dpp dependent repression mechanism [elbow (el) and no ocelli (noc) genes that act in the leg and the wing discs to repress hth expression, and therefore body wall fates [hth, dac, and Dll, respectively , Bar (B), and rotund (rn) among others [Delta (Dl) and Serrate (Ser) [btd and Sp1 are co-opted later during imaginal development to control the growth and pattern of the leg, in part through the regulation of Ser expression and therefore Notch signaling [dysfusion (dysf), proximal joints such as the odd-skipped gen family of for all joints like dAp-2 , that regulates the expression in a distal to proximal manner of g others ,96 . Beste (Ser) ,100. Notte (Ser) ,102,103 ignaling ,104,105.e dAp-2 and vg [nub and vg is accompanied by the repression of the body wall genes teashirt (tsh) and hth (hth/tsh (notum and hinge) and vg (wing blade) is analogous to the leg disc, where hth/tsh are also restricted to the proximal domain to promote body wall structures that subdivide the thorax and the wing field in dorsal (D) and ventral (V) compartments [vg expression and wing outgrowth [vg in the cells that will become the wing blade [hth and vg subdivide the wing field in the pouch and the hinge [Iroquois-complex (Iro-C) that are repressed in the wing field by Dpp secreted in the A-P boundary and vg . The act and hth [114,115ructures C. It haserritory ,114,116.artments ,117,118.utgrowth . Ap regung blade ,121,122.he hinge ,114,121.boundary [123,124al fates .en expression subdivides the wing disc in two populations of cells, the A and P compartments. The A-P boundary acts a source of positional information where Hh secreted from the posterior compartment activates the expression of dpp in A cells. Dpp and Hh are both required to pattern the wing blade along the A-P axis (brinker (brk) to the lateral domain of the wing [omb and the spalt genes in nested domains [As in the leg disc, A-P axis . Dpp difthe wing ,129,130. domains ,132).hth, spineless (ss), and Antp that converts every antenna part to its corresponding leg segment [The eye-antennal disc (EAD) is formed by different populations of cells located in the cephalic segments that coalesce together . The EAD segment ,134 and sine oculis (so) [distal antenna (dan) and distal antenna related (danr) genes, responsible for the specification of distal antenna identity [Early on larval development (L1) the EAD shows no sign of regional specification and presents uniform expression of several transcription factors including lis (so) A [135,13lis (so) A. Accordo) ,147. Ss identity ,149.Drosophila melanogaster has provided a detailed picture of the molecular mechanisms that lead to the specification and patterning of the adult appendages. Importantly, many of the signaling pathways and transcription factors identified in the fly have similar functions during vertebrate limb development. However, many important questions remain unsolved. First, the target genes and the regulatory networks controlled by the transcription factors that subdivide the appendages along the different axes are still largely unknown. This includes the analysis of the molecular interactions between patterning genes and signaling pathways. Second, further investigation would be required to unravel how the patterning information is translated into cellular behaviors , which are ultimately responsible for the characteristic shape and size of the different appendages of the fly. The use of whole genome techniques such as ChIP (Chromatin Immunoprecipitation) or ATAC (assay for transposase accessible chromatin) assays, coupled with whole genome sequencing is essential to identify the target genes and the regulatory landscapes governed by the patterning transcription factors. In addition, live imaging techniques would provide novel information of the morphogenetic processes and dynamics during appendage specification and formation.In this review, we have discussed how the study of"}
+{"text": "Many Latino older adults delay seeking help for symptoms of Alzheimer\u2019s Disease or Related Dementia (ADRD) due to substantial barriers to services. Community-based Natural helpers (NHs) can increase health-related knowledge and can serve as full partners in health education and promotion. This paper presents the process and product of the first phase of a community-based participatory research study to develop a culturally-tailored intervention increasing knowledge about ADRD and services in East Harlem, NY. We describe the results of the initial survey and development of El Barrio SHARE, an intervention that recruits and trains community residents to provide information and referrals about dementia, tapping into natural community networks of people who interact with and have longstanding relationships with older adults in the course of their work. NHs are well-positioned to observe and detect problems, and can link elders to relevant, culturally-sensitive resources, accessible support, and treatment."}
+{"text": "Marked erosion with punched-out resorptive lesion and dilatation of joint cleft, on the distal interphalangeal joint, were seen.In addition, bone erosion and narrowing of the joint cleft were seen on carpometacarpal joint."}
+{"text": "Somatic embryogenesis (SE) and organogenesis have become leading biotechnologies for forest tree improvement and the implementation of multi-varietal forestry. Despite major advances in clonal propagation using these technologies, many forest tree species, such as conifers, show a low regeneration capacity. Developmental factors such as genotype, the type and age of the explant or tissue, and the age and maturity of the mother tree are limiting factors for the success of propagation programs. This review summarizes recent research on the molecular pathways involved in the regulation of key steps in SE and organogenesis of forest tree species, mainly conifers. The interaction between auxin and stress conditions, the induction of cell identity regulators and the role of cell wall remodeling are reviewed. This information is essential to develop tools and strategies to improve clonal propagation programs for forest tree species. Recalcitrance to somatic embryogenesis (SE), adventitious rooting (AR) from stem cuttings or adventitious shoot (AS) formation is a major limitation for the clonal propagation/micropropagation of elite trees in many woody species, especially forest tree species. Several reviews on the state-of-the-art of the application of these techniques as well as the impacts of recalcitrance and tree domestication on forestry have been published . There aThis review summarizes the results of recent studies on the molecular and cellular mechanisms involved in the regeneration capacity of forest tree species by SE, AR, or AS formation, with special focus on conifers. The interaction between auxin and stress conditions, the induction of cell identity regulators and the role of cell wall remodeling are mainly reviewed. We have focused on the early stages of regeneration, when the transition from a somatic to an embryonic or meristematic cell occurs, in an attempt to highlight factors or common pathways that may be relevant for the control of the recalcitrance.The induction of SE, AR, or AS formation is a multi-factorial developmental process that includes the effects of hormones and chemical and physical factors. Such factors include the composition of media, growth conditions, stress associated with wounding (excision) or the culture environment, and other stress factors . It has The conditions and requirements for the induction of SE, AR, or AS formation vary within and among forest tree species; however, some common pathways can be identified. The most obvious is the absolute requirement for auxin and polar auxin transport during the initiation stage. Plant growth regulators play a central role in both the initiation of pro-embryogenic masses (PEMs) and the differentiation and maturation of somatic embryos. In forest tree species, initiation and proliferation of embryogenic masses (EMs) are induced in the presence of auxin and cytokinin. Withdrawal of these plant growth regulators results in the differentiation of somatic embryos from PEMs. Embryos are subsequently transferred to medium supplemented with abscisic acid (ABA) to induce somatic embryo maturation.Abies alba has been shown to negatively affect embryogenesis initiation and development. This indicates that high levels of endogenous IAA and polar auxin transport are required for resuming proliferation and activating the embryogenic program during cell reprogramming leading to SE. Similar results have been described during SE from adult leaf tissues of Quercus alba have been shown to reduce the level and distribution of auxin in rooting cells 3 and PIN7 was only marginally influenced by time after induction, physiological age, or auxin treatments. However, the expression of AUXIN RESPONSE FACTOR (ARF)6 and ARF8, which promote AR in model species, increased only in rooting-competent parenchyma cells. In addition, expression of ARF17, which inhibits rooting, decreased concomitantly with the increase in ARF6 and ARF8 expression. Auxin was required for localizing changes in gene expression. Recalcitrant mature cuttings showed a diffuse and uniform mRNA signal among all tissue types. The authors concluded that recalcitrance of black walnut to AR resulted from the failure of rooting-competent cells to perceive molecular signals initiated by auxin in mature cuttings. This confirmed the results of earlier studies on AR in conifers, demonstrating that auxin acts as an unspecific signal of preset cell reaction patterns -related homeobox gene family of transcription factors whose expression is associated with specifying apical cell identity during the earliest stages of Arabidopsis embryogenesis , a novel NF-YB subunit of the CCAAT-binding transcription factor that functions as a master regulator of embryogenesis , encoding an AP2/ERF responsive transcription factor involved in promoting cell proliferation and morphogenesis during embryogenesis 3 gene, encoding a B3-domain transcription factor involved in ABA signaling , indicating that it may be involved in cell division and could not be used as a marker of EMs like in white spruce 1-2 and WOX13 genes, the former encoding a LRR receptor-like kinase involved in the induction of SE competence in culture . The large number of differentially expressed genes encoding cell cycle regulators, PCD-related proteins, and BBM and WOX transcription factors suggested that these proteins may play crucial roles in PEMs establishment and development in larch , PrSCR, and SCARECROW-LIKE (SCL) 6, PrSCL6, were significantly reduced or non-existent in adult tissues that had lost the capacity to form adventitious roots, but were maintained or induced after the reprogramming of adult cells in rooting-competent tissues. GRAS gene expression associated with the maturation-related decrease in adventitious root formation in chestnut. Other studies have reported asymmetrical increases in the transcript levels of other members of the GRAS gene family, PrSCL1 were upregulated in embryogenic tissues compared with non-embryogenic ones. This finding indicated that cell wall signaling and intercellular communication play important roles in the acquisition of embryogenic competence and the initiation of SE in this species. Early work on SE in Norway spruce described the importance of the interactions among cells, and the roles of cell wall signaling and chitinase-cleaved forms of AGPs for induction of SE (Abies hybrid cell line, compared with low embryogenic lines. The AGPs progressively accumulated within the extracellular surface matrix network, a structure covering embryogenic cells, during the early stages of embryo development (To understand the molecular mechanisms regulating the role of the cell wall in the initiation of SE, on of SE . An increlopment . They wein vitro protocols, and have similar early embryogenic markers in Q. suber (Q. alba (Cell wall remodeling by increasing pectin esterification and an increase in endogenous auxin occur concomitantly at the early stages of two embryogenesis pathways: microspore embryogenesis; and embryogenesis from immature zygotic embryos. These pathways can be induced by different Q. suber . Similar(Q. alba .Microtubules and microfilaments are involved in cell polarity and the orientation of the cell division plane, cell wall development, intracellular transport processes, the mechanical properties of the plant cell and tissues, and how these tissues interact with the plasma membrane and the cell wall. Therefore, along with the cell wall, these structures may play important roles in the organization of new structures during regeneration. Microtubules and F-actin were both found to be important for embryogenesis in Norway spruce . CytochaEucalyptus (Eucalyptus. The relevance of microtubule remodeling in the maturation-related decline of AR has been demonstrated using microtubule-disrupting drugs, which increased the rooting capacity of adult cuttings of Eucalyptus grandis (Several studies have identified components of the molecular pathways underlying cell wall and cytoskeleton remodeling which are associated with adventitious root formation and the maturation-related decline in AR in pine and calyptus . These a grandis .Flexibility of the interactions between the cell wall, plasma membrane, and cytoskeleton is required to establish new cell polarity, reorient cell division planes, modify growth direction and induce a new morphogenic program. The components involved in these pathways are regulated by auxin, stress or cell identity regulators during induction of SE or organogenesis. In addition, modifications in the cell wall and cytoskeleton result in changes in cell polarity and the polarization of auxin transporters and auxin gradients.SERK was induced by auxin and stress conditions (PpWOX13-like genes were found to be involved in the control of cell wall loosening to facilitate stem cell formation in Physcomitrella patens (Arabidopsis (de novo regeneration. Molecular dissection of the mechanisms underlying regeneration capacity and identification of the genes expressed in common interrelated pathways regulating competence for SE and organogenesis would allow identification of an expressional signature characterizing specific levels of regulation, developmental stages, age, position, timing, type of tissues, clones or genetic traits associated with competence for SE or organogenesis. Cutting-edge technologies for analyzing multigene expression profiling may provide additional prognostic information for competence. Furthermore, the identification of rechanneling and master genes may provide additional tools for the modification of competence. Moving forward in the same direction, a more precise characterization of tissues used in operational programs will allow individualized management after diagnosis.Several interrelated pathways are involved in the plasticity of plant cells for SE or organogenesis in forest tree species Figure . Stress,nditions . Interesa patens . Crosstabidopsis ,b. All tCD-S conceived the idea, gathered data, and wrote the manuscript.The author declares that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "In response to the urgent need to scale up access to antiretroviral therapy, the Global Nursing Education Partnership Initiative (GNCBP), a PEPFAR program administered by the U.S. Department of Health Resources and Services Administration (HRSA), was implemented from 2011 to 2018 by ICAP at Columbia University. Working closely together, HRSA and ICAP partnered with local nursing leaders and ministries of health to strengthen the nursing and midwifery workforce across 11 countries. This multi-country project, developed to address critical gaps in nursing education and training worked across six building blocks of health workforce strengthening: infrastructure improvement, curricula revision, clinical skills development, in-service training, faculty development and building partnerships for policy and regulation to increase the quality and quantity of the nursing and midwifery workforce. As a result, 13,387 nursing and midwifery students graduated from schools supported under GNCBP. A total of 5,554 nurses received critical in-service training and 4,886 faculty, clinical mentors and preceptors received training in key clinical care areas and modern teaching methodologies. ICAP completed 43 infrastructure enhancements to ensure environments conducive to learning and strengthened nursing leaders as best evidenced by the election and formation of Mozambique\u2019s first national nursing council and the NEPI Network. Going forward, efforts to strengthen nursing and midwifery can build on the results of the GNCBP project. Going forward, a new group of African nursing leaders are being supported to advocate for high quality patient-care led through inter-professional collaboration and participation in international efforts championing the critical role of nurses in achieving universal health coverage. To achieve the UNAIDS 90-90-90In response, the Global Nursing Education Partnership Initiative (GNCBP), a PEPFAR program administered by the U.S. Department of Health Resources and Services Administration (HRSA), was implemented by ICAP at Columbia University. Working closely together, HRSA and ICAP have partnered with local leaders to strengthen the nursing and midwifery workforce. This multi-country project, developed to address critical gaps in nursing education and training, was launched in 2011, with the field work completed in September 2017. The GNCBP spanned 11 countries and included two subprojects; the Nursing Education Partnership Initiative (NEPI) and General Nursing (GN). The GNCBP supported local projects, institutions, and networks to expand, enhance, and sustain the nursing and midwifery workforce through NEPI and GN . The purpose of NEPI was to strengthen both the quality and quantity of the nursing and midwifery workforce through strengthened nursing and midwifery education. The NEPI project had five broad objectives: 1) strengthen teaching/learning infrastructure; 2) improve quality and relevance of teaching and learning; 3) improve the capacity of nursing and midwifery faculty; 4) build governance, leadership and administrative capacity within education institutions; and 5) enhance partnerships and networks. With the release in 2014 of PEPFAR 3.0 \u2013 Across the six countries supported by NEPI, a total of twenty-two schools of nursing participated Table . SchoolsA brief description of nursing and midwifery strengthening efforts within each building block is provided below.Faculty development focused on improving the ability of faculty to lead quality education programs and in later years to provide greater support and attention to nursing and midwifery education locally and regionally. Support was provided for a wide array of educational opportunities, including but not limited to, in-service training initiatives, such as nurse initiated and managed ART (NIMART), training in the set-up and use of simulation-based education and training, development of competency-based curricula, the nursing process, as well as tuition support for those nurses pursuing Master\u2019s and PhD degrees. In the final year of NEPI, a leadership webinar series was undertaken, as well as an in-person nursing and midwifery leadership development workshop.Robust nursing education and leadership networks were developed across NEPI-supported institutions and active links to regional and international nursing bodies have been formed through local technical working groups, the \u2018NEPI network\u2019, and through supporting local, regional and international conference attendance.Prior to the NEPI program, nursing schools lacked the basic equipment and supplies including textbooks, journals and lecture halls able to accommodate an increased number of students. WHO, in the 2006 World Health Report, recognized the importance of increasing the size of the health workforce but at the same time improving educational infrastructure . \u201cInsuffNursing and midwifery curricula needed to be updated to reflect nurses and midwives current scope of practice and \u2018real world demands\u2019. We used the backward design to curriculum development was employed throughout the network of schools . EducatoWithin the NEPI project, ensuring that nursing students were both competent and confident was prioritized. Competency-based curricula were coupled with improved clinical skills training through both simulations and supervised clinical practice. The development of simulation-based education (SBE) included the procurement, set-up and training on use of SBE. Training was provided by both the equipment supplier, as well as regional faculty trained in SBE. High, medium and low fidelity equipment were acquired to ensure students had the ability to learn core skills in a controlled practice environment. Mannequins able to simulate routine nursing functions, such as venipuncture and intravenous infusion were complemented with higher fidelity mannequins that could simulate life-threatening conditions, such as emergency obstetric complications. Faculty were trained in the use of a wide range of equipment, including computer aided simulation which allowed dynamic manipulation of the \u2018patients\u2019 condition. Such features enable students to acquire experience and skills to be able to more competently deal with rare events, such as post-partum haemorrhage, as well as allowing faculty to assess student\u2019s competence for real world challenges. In addition to SBE, NEPI country programs strengthened clinical training through preceptor education and training, improved access to rural practice settings, and allowed for the development and use of model wards.Continuing professional development (CPD) included increasing faculty access to HIV competency-based e-learning, with a pilot of Option B+ e-learning at NEPI supported schools in Lesotho, Zambia and Malawi and NIMART in-service training. Local, regional and international nursing conference participation and abstract submission was encouraged. Over the life of the project, NEPI attended and presented as such conferences as ECSACON , Sigma Theta Tau Honor Society of Nursing, the International Council of Nurses (ICN) and the Association of Nurses in AIDS Care (ANAC). With the PEPFAR Pivot, CPD courses and abstracts focused on HIV priority areas.We present results across the six building blocks is presented here. Table The PEPFNursing Now Campaign, which builds on the Triple Impact report championing the critical role of nurses in achieving universal health coverage [By supporting the education and training of over 13,000 new nurses and midwives, the NEPI program has made a significant contribution by increasing both the quality and the quantity of the health-care workforce in sub-Saharan Africa and strengthening the health care workforce\u2019s ability to respond to HIV . In addicoverage .Nurses provide the majority of HIV services in Africa. Epidemic control will not be achieved without a strong nursing and midwifery workforce at the front lines of primary health care. The NEPI project is the first large-scale systematic multi-country investment in Africa to strengthen nursing and midwifery education reflective of clinical practice. NEPI leaders now drive education and practice change at 22 schools of nursing in Africa, equipped with the basic building blocks for quality education. Recent inter-professional collaboration efforts are building partnerships across professions to drive improvement in education, research and service delivery. Yet, much work remains to ensure nursing and midwifery strengthening is sustained and shared with the thousands of nursing and midwifery schools that lack the basic building blocks of high quality education. The critical role of nurses in HIV must continue to be met with substantive investment in nursing and midwifery education."}
+{"text": "Equitable access to essential psychotropic medicines at primary level is fundamental to universal health coverage for mental health. It relies upon rational selection, affordable pricing, financial protection and consistent supply systems. Which medicines are selected as essential impacts patient care and the economic sustainability of the health system. Rational selection uses the best available evidence for efficacy, safety and acceptability, and requires the assurance of affordability, obtainability and appropriate usage of the medicines. The process should be reliable, transparent and consultative.The aim of this study is to describe the process of rational selection of essential psychotropic medicines at primary health care (PHC) level, using SSRIs as an example.Population, intervention, comparison and outcome (PICO) questions were developed for a rapid review of SSRIs for depression and anxiety. PubMed, Trip Database and Cochrane Library were searched for evidence, which was critically appraised (graded as per SORT criteria) and synthesised. Good governance principles were maintained using a consensus decision-making process within the constraints of the PHC Expert Review Committee\u2019s terms of reference, confidentiality and conflict of interest policies. Evidence-based medicine principles were used, considering social values of equity, acceptability, comparative cost and relative budget impact analysis.The PubMed search for meta-analyses yielded 588 articles, of which 13 met inclusion criteria. An additional 4 meta-analyses were retrieved from the Cochrane Library and 4 from additional reference lists. A second search specifying an HIV population retrieved 43 articles, of which 3 were included. The evidence for efficacy and harm of 24 papers was critically appraised by the committee. Conflicts of interest were declared, and there was appropriate recusal from the final decision-making, which took place in July 2018.Rapid reviews using an evidence-based medicine framework contributed to the selection of SSRIs for the PHC essential medicine list. This approach is intensive in terms of resources and capacity, requiring adaptation to the South African setting. Important limitations include time pressure and the use of a single reviewer, with possible incomplete database searches and reviewer bias. Nevertheless, the process allows for thorough, consistent and transparent decision-making, and improved capacity is recommended."}
+{"text": "While family caregiving of the elderly has long been part of the cultural life of most OECD countries, longer life expectancy combined with low fertility rates has increased the share of the population dependent on current workers and minimized the available population of informal caregivers. The demand for expanded public provision of long-term care (LTC) resulting from this demographic shift prompted reforms in many OECD countries in the 1990s and 2000s. Differences in these reforms provide an opportunity to examine how individual choices between formal and informal care types are shaped by the policy context. I use longitudinal data on elders in three OECD countries, Sweden, Germany, and Japan, to examine LTC decisions under three varied approaches to population aging. The direction of LTC reforms in each country has been shaped by the existing model of care provision and financial constraints. In response to cost pressures, Sweden introduced need-based provision, financial devolution, and market-based approaches to its universal care model. Germany and Japan, in contrast, widely expanded restricted LTC coverage through public LTC insurance models. I use three multinomial logistic models of the LTC decision to test how differing policy schemes influence choices between formal and informal care. Using longitudinal Global Gateway to Aging data for each country, I model the LTC decision in each country as a factor of demographic and need characteristics of the elder experiencing limitations, characteristics of their family, and eligibility for publicly-provided LTC."}
+{"text": "For more than a decade, the United States has performed environmental monitoring by collecting and analyzing air samples for a handful of biological threat agents (BTAs) in order to detect a possible biological attack. This effort has faced numerous technical challenges including timeliness, sampling efficiency, sensitivity, specificity, and robustness. The cost of city-wide environmental monitoring using conventional technology has also been a challenge. A large group of scientists with expertise in bioterrorism defense met to assess the objectives and current efficacy of environmental monitoring and to identify operational and technological changes that could enhance its efficacy and cost-effectiveness, thus enhancing its value. The highest priority operational change that was identified was to abandon the current concept of city-wide environmental monitoring because the operational costs were too high and its value was compromised by low detection sensitivity and other environmental factors. Instead, it was suggested that the focus should primarily be on indoor monitoring and secondarily on special-event monitoring because objectives are tractable and these operational settings are aligned with likelihood and risk assessments. The highest priority technological change identified was the development of a reagent-less, real-time sensor that can identify a potential airborne release and trigger secondary tests of greater sensitivity and specificity for occasional samples of interest. This technological change could be transformative with the potential to greatly reduce operational costs and thereby create the opportunity to expand the scope and effectiveness of environmental monitoring. The release of a BTA as an aerosol has the potential to kill thousands of individuals Riedel, . The iniSurveillance for a biological attack currently relies on a combination of public health/clinical surveillance and environmental monitoring. Public health/clinical surveillance involves a combination of syndromic disease surveillance met to discuss the current state-of-the-art technology for 9 h over three consecutive days during a conference on chemical and biological terrorism defense. The participants included past and present DHS program managers tasked with Research and Development to support the Biowatch program, experts who have contributed in various ways to environmental monitoring of BTAs over the entire history of the Biowatch program, and members of other U.S. Government agencies that have participated in prior assessments of the Biowatch program. State government end-users of the Biowatch program did not attend the scientific conference from which this discussion group was assembled. The discussion group was tasked with providing recommendations to address three specific challenges: value and benefit to public health, cost and sustainability, and probability of detection. The consensus recommendations from the discussion group include operational and technological changes that range from incremental to transformative. Implementing these recommendations could lead to a more robust and cost-effective environmental monitoring program.detect-to-warn and detect-to-treat. The two operational modes were originally defined in the context of warning systems for U.S. military personnel . In the detect-to-warn mode, the early cases of illness diagnosed through conventional public health channels provide confirmation of an exposure event. The early cases can also provide additional characterization of the event and the identification of the potential exposure zone that can be used to trigger a larger public health response for soon-to-emerge cases. Detect-to-warn is the easiest mode to implement. Current environmental monitoring for airborne BTAs operates in the detect-to-warn mode (using the definition provided here) but lacks some of the critical elements needed to support a rapid response, namely adequate data or demonstrated approaches to gather supplemental data that can engender widespread confidence among public health officials.The detect-to-warn mode simply alerts public health officials of a high-confidence exposure event and can trigger population-level distribution of MCMs for post exposure prophylaxis if the scale and geographic scope of the attack is reasonably understood. In this mode, the presence of an air borne biological agent of interest must be established with high confidence because MCMs cannot be delivered to a population based on inconclusive or false positive results. Population-level treatment for an unconfirmed threat is too costly in logistics, materials, and possible adverse health events. Adverse health events can occur as a result of potential side-effects or adverse interactions with other medications in a large, physiologically heterogeneous civilian population in which an unknown number may also have varying degrees of immune-suppression.The detect-to-treat mode alerts public health providers of a Bacillus anthracis or Francisella tularensis) or genetic near neighbors that are indistinguishable from the agent of interest by the assays employed. For example, the microorganisms that cause anthrax and tularemia are endemic in the U. S. and can be found in environmental matrices such as soil and water, respectively, that can serve as sources of low numbers of airborne organisms. However, the airborne concentrations or the viability of these naturally occurring agents are likely insufficient to cause human disease as suggested by the absence of reported cases of inhalation anthrax and pneumonic tularemia in areas where Biowatch is deployed. This is particularly significant with F. tularensis because the infectious dose may be <10 organisms may occasionally be found on air collection filters and detected by current assays resulting in false positive results. The Biowatch program reported 149 false positives from 2003 to 2012 in the performance of environmental monitoring is a significant challenge. Like any clinical diagnostic device, the end-to-end performance of an environmental monitoring system must be thoroughly validated under relevant conditions and the benefit must be unambiguous and their likelihood of detection.detect-to-warn mode, but it is essential for surveillance in the detect-to-treat mode. Viability confirms that a BTA of interest was detected that can potentially cause infection. It also enables antibiotic susceptibility testing to confirm the appropriate antibiotic(s) for prophylaxis. An integrated system does not currently exist for routine surveillance of air borne organisms or toxins of interest and simultaneous confirmation of agent viability or toxicity. In currently existing environmental monitoring systems, for example, a 24-h period of collection results in cell desiccation and possibly additional stresses such as denaturation of proteins that pose substantial challenges for the recovery of viable organisms and active toxins. Given that surveillance in detect-to-treat mode can reduce morbidity and mortality to a much greater degree than in detect-to-warn mode, developing an effective approach to reduce the loss of viable pathogens and toxins during aerosol sampling would be a valuable investment.Confirming the viability of an aerosolized pathogen is unnecessary for environmental monitoring in the Any approach to recovering and documenting viable, non-sporulating biological agents and active toxins of interest must address two major problems: (a) desiccation-related loss of viability or stability; and, (b) ability to rapidly distinguish a viable BTA of interest from other viable cells that may be present in a sample.Although desiccation resulting in cellular destruction or protein denaturation is commonly believed to be the cause of cell death and loss of toxin activity in aerosol samples, dehydration is a common method used for long-term preservation of microbial cells or toxins. In aerosol samples, cell death may occur from the rapid re-hydration of cells during assays for viability increasing the probability that one or more detectors are close to the point source where the released agent concentrations are highest, and (ii) increasing the probability that at least one detector will capture an event despite changing air-flow patterns. A denser network would also improve the likelihood that multiple detectors document an event, which can facilitate the characterization of the magnitude and spatial coverage of an event. However, the cost of denser networks is expected to make outdoor environmental surveillance prohibitive. Consequently, the panel recommended abandoning outdoor monitoring because, as currently practiced, outdoor environmental monitoring seems unlikely to achieve its operational goal have been suggested as potential technologies for a reagent-less bioagent sensor (National Research Council, Raman spectroscopy has been evaluated as a potential technology platform for a reagent-less environmental monitoring system (Ronningen and Bartko, Our recommendations are consistent with those from prior expert panels that evaluated environmental surveillance for biodefense (National Research Council, Kevin Anderson, Department of Homeland Security; Tamilselvam Batcha, University of Illinois; Thomas Blake, Centers for Disease Control and Prevention; Steven Blanke, University of Illinois; Catherine Branda, Sandia National Laboratory; Katrina Campbell, Queen's University Belfast; Stephen Casalnuovo, Sandia National Laboratory; Rodrigo Castillo-Garza, United Technologies Research Center; Douglas Cerasoli, U.S. Army Medical Research Institute of Chemical Defense; Jean Challacombe, Los Alamos National Laboratory; James Dillman, US Army Medical Research Institute of Chemical Defense; John Dunbar, Los Alamos National Laboratory; David Franz, NGI; Mark Geisberg, Silver Lake Research Corporation; David Hodge, Department of Homeland Security; Robin Holland, University of Illinois at Urbana Champaign; Hayden Huang, Government Accountability Office; Molly Hughes, University of Virginia; Janine Hutchison, Pacific Northwest National Laboratory; Morten Jensen, Gate Scientific; Justin Kita, Federal Bureau of Investigation; Luther Lindler, Department of Homeland Security; Ronald Manginell, Sandia National Labs; Patrick Martin, Takara Bio USA; Patrick McNutt, U.S. Army Medical Research Institute of Chemical Defense; Eric Merkley, Pacific Northwest National Laboratory; Stephen Morse, Centers for Disease Control and Prevention; William Nelson, Tetracore; Tom O'Brien, Tetracore; Timothy Persons, Government Accountability Office; Segaran Pillai, HHS Food and Drug Administration; Kristian Scaboo, Gate Scientific; Shashi Sharma, HHS Food and Drug Administration; Sushil Sharma, Government Accountability Office; Patrick Stayton, University of Washington; Nicole Steinmetz, Case Western Reserve University; Jane Tang, Department of Homeland Security; Bernhard Weigl, Global Good; David Wunschel, Pacific Northwest National Laboratory.These participants were attending a conference on Chemical and Bioterrorism Defense and were invited as subject matter experts to the independently organized discussions from which this perspectives article arose.All authors listed have made a substantial, direct and intellectual contribution to the work, and approved it for publication.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "The INTERGROWTH-21st standards, it is essential to assess the feasibility and acceptability of their implementation and their effect on clinical decision-making in a low-resource clinical setting.To scale up the INTERGROWTH-21This study protocol describes a pre-post, quasi-experimental implementation study of the standards at Jacaranda Health, a maternity hospital in peri-urban Nairobi, Kenya. All women with viable fetuses receiving antenatal and delivery services, their resulting newborns, and the clinicians caring for them from March 2016 to March 2018 are included. The study comprises a 12-month preimplementation phase, a 12-month implementation phase, and a 5-month post-implementation phase to be completed in August 2018. Quantitative clinical and qualitative data collected during the preimplementation and implementation phases will be assessed. A clinician survey was administered eight months into the implementation phase, month 20 of the study. Implementation outcomes include quantitative and qualitative analyses of feasibility, acceptability, adoption, appropriateness, fidelity, and penetration of the standards. Clinical outcomes include appropriateness of referral and effect of the standards on clinical care and decision-making. Descriptive analyses will be conducted, and comparisons will be made between pre- and postimplementation outcomes. Qualitative data will be analyzed using thematic coding and compared across time. The study was approved by the Amref Ethics and Scientific Review Committee (Kenya) and the Harvard University Institutional Review Board. Study results will be shared with stakeholders through conferences, seminars, publications, and knowledge management platforms.st training: gestational dating ultrasound, fetal growth monitoring ultrasound, and neonatal anthropometry standards. Following the training, implementation and evaluation of the standards in Jacaranda Health\u2019s clinical workflow will take place from March 2017 through March 5, 2018. Data analysis will be finalized, and results will be shared by August 2018.From October 2016 to February 2017, over 90% of all full-time Jacaranda clinicians (26/28) received at least one of the three aspects of the INTERGROWTH-21st standards and on the process of scaling up global standards in general, particularly in limited-resource settings.The findings of this study will have major implications on the national and global scale up of the INTERGROWTH-21RR1-10.2196/10293 The neonatal period (first 28 days of life) is the most vulnerable time for an infant\u2019s survival. In 2016, 2.6 million neonates died globally representing 46% of all under-five deaths . There aTo make sound clinical decisions and provide quality maternal and neonatal care, clinicians require measurement standards for accurate pregnancy dating, monitoring of fetal growth, and assessment of newborn size and growth . Such stThe date of the maternal last menstrual period (LMP) can be used for pregnancy dating but is often inaccurate or unknown; in these cases, ultrasound is the most accurate method for determining gestational age ,18-20. Ust Project completed a five-year, global, prospective study of growth, health, nutrition, and neurodevelopment. The study followed women and their infants longitudinally from less than 14 weeks gestation until two years postnatal. The project enrolled populations at low risk of adverse outcome in Brazil, Italy, Oman, UK, USA, China, India, and Kenya [st data were compiled to develop new prospective standards to be used to assess pregnancy dating in the first trimester [In 2014, the INTERGROWTH-21nd Kenya ,29. INTErimester and secorimester , fetal grimester (includirimester and ultrrimester ), and nerimester ,17. WithTo scale these standards and affect preterm birth and its complications, including neonatal mortality, it is essential to assess the feasibility and acceptability of implementing these standards and their effect on clinical decision-making, particularly in low-resource clinical settings.st standards over a one-year period at Jacaranda Health, a private, social enterprise maternity hospital in peri-urban Nairobi, Kenya. To our knowledge, this is the first facility-based implementation study of the INTERGROWTH-21st standards in a limited-resource setting. The research design considers stakeholder inputs, the physical and institutional environment, and the health system structure.We aim to assess the feasibility and acceptability of implementing the INTERGROWTH-21st standards in other settings and to inform the translation of guidelines and tools into routine clinical practice.The ultimate aim of the project is to use the results of the study to inform the implementation and scale up of the INTERGROWTH-21st standards at Jacaranda Health. The specific components of the primary objective are to assess the introduction of the INTERGROWTH-21st standards and the training of clinicians at Jacaranda Health, the effect of the implementation of the INTERGROWTH-21st standards on clinical practices at Jacaranda Health, clinicians\u2019 experiences and satisfaction with the INTERGROWTH-21st standards, clinicians\u2019 perceived effect of the standards on the clinical care they provide, and patient experiences and satisfaction with the care they received at Jacaranda Health during implementation of the INTERGROWTH-21st standards.The primary objective is to determine the facilitators and barriers to implementing the INTERGROWTH-21st standards on clinicians\u2019 decision-making and patient outcomes, including the processes for determining gestational age and estimated due date, internal referral to Jacaranda Health clinicians providing high-risk consultations, tertiary-center referral of high-risk pregnant women, and indications for and rates of labor inductions and caesarean sections.The secondary objective of this study is to assess the effect of implementing the INTERGROWTH-21st standards on clinical decision-making and management at Jacaranda Health. Study activities consisted of a 12-month preimplementation phase which included a baseline facility assessment, changes to facility protocols and charting forms, planning work flow adaptations to facilitate implementation of the standards, equipment procurement, training of clinicians, and baseline data collection; a 12-month implementation phase which included the implementation of the INTERGROWTH-21st clinical standards, revised facility protocols and charting forms into routine clinical practice, and data collection; and a five-month post-implementation phase which includes analysis and dissemination.This is a pre-post, quasi-experimental implementation study using quantitative clinical data, focus group discussions (FGDs), in-depth interviews (IDIs), and a short clinician survey. The study describes the feasibility, acceptability, and the effect of implementing the INTERGROWTH-21st researchers at Oxford University and researchers at the Harvard T.H. Chan School of Public Health.This study design was based on a conceptual model created by INTERGROWTH-21st standards and capturing factors that facilitate and challenge that process. Jacaranda Health patients come from densely-populated, peri-urban neighborhoods in northeastern Nairobi, including Kiambu, Thika, Gatundu, and Embakasi districts. These areas are served by many facilities that range from small pharmacies and outpatient care clinics to private and public sector secondary and tertiary hospitals with maternity wards; the services and prices vary substantially across these facilities.This implementation study is currently being carried out at Jacaranda Health, a social enterprise, 18-bed maternity hospital that provides women in peri-urban Nairobi with affordable, safe, and respectful ANC, standard vaginal and cesarean delivery, and postnatal care (PNC) services. Women in preterm labor and newborns with LBW and/or complications are not managed at this facility and are referred to tertiary-level facilities for specialized care. With a model that emphasizes quality and affordable care provided primarily by nurse-midwives , Jacaranda Health provides an ideal venue for evaluating the implementation of the INTERGROWTH-21Pregnant women with a viable fetus presenting for ANC and/or delivery at Jacaranda Health were eligible for the following three elements of the intervention: (1) gestational dating standards for women who present for their initial ANC visit in the first or second trimester ; (2) fetal growth monitoring standards for women who present for an ANC visit in the third trimester (after 26 weeks gestation) and are identified as high-risk based on factors related to their surgical, medical, or obstetric history or current pregnancy; and (3) newborn size at birth standards for all newborns born at Jacaranda Health. We excluded pregnant women with a nonviable fetus in both quantitative and qualitative data collection, women who present for their initial ANC visit in the third trimester (after 26 weeks gestation) for gestational dating standards, and parents of stillborn infants in qualitative data collection. All eligible pregnant women and mothers of newborns described above were eligible to participate in FGDs and IDIs.st training sessions are eligible to participate in FGDs, IDIs, and a short clinician survey. Clinicians who only work in child wellness clinics and not in prenatal or intrapartum care units were excluded.All clinicians delivering ANC and newborn anthropometry who attended INTERGROWTH-21st standards at Jacaranda Health to assess their acceptability and inform their further scale up. The results of the study will be disseminated to providers at Jacaranda Health by study staff at the end of the study.The development of the study design, research questions, and outcome measures did not formally involve patient and public opinions and contributions. However, the study assesses patient and provider perceptions and experiences of the implementation of the INTERGROWTH-21st standards, we conducted a baseline assessment of current facility practices as they relate to our study objectives. Focus was placed on policies and practices related to ANC provision, pregnancy dating, identification and referral of high-risk pregnancies to high-risk care within Jacaranda Health and to tertiary facilities, fetal growth monitoring, newborn size measurement, and indications for and rates of cesarean section and labor induction.Before implementing the INTERGROWTH-21The baseline assessment was conducted through clinic observations; a desk review of written policies; IDIs with Jacaranda Health\u2019s director of clinical operations, clinical programs manager, and clinical educator; a chart review to understand clinician practices and indications for and rates of cesarean sections and labor inductions; an equipment and supply inventory with a focus on ultrasound and newborn anthropometry; and a human resource inventory to understand existing personnel and clinician roles and responsibilities related to clinic flow, pregnancy dating, fetal growth monitoring, and patient counseling. We then adapted ANC protocols to align with the 2002 WHO ANC model . This wost standards. In partnership with Oxford University, we created a computerized calculator to calculate gestational age and fetal growth percentiles: clinicians use the ultrasound machine to measure the required biometrics for gestational dating or fetal growth, input the measurements into the calculator, and then record the resulting gestational age or fetal growth percentiles in the patient\u2019s chart. Additionally, neonatal scales, measuring tapes, and infantometers, chosen in consultation with the INTERGROWTH-21st Oxford team and adjusted based on local availability and resource constraints, were sourced and integrated into clinical practice.A key element of preimplementation activities was ensuring that the hospital\u2019s equipment, protocols, and procedures were updated and adapted for the implementation of the INTERGROWTH-21st standards.We updated Jacaranda Health clinical protocols for standard ANC, high-risk pregnancy classification and subsequent internal and tertiary-center referral, gestational dating, fetal growth monitoring, and newborn anthropometry, in addition to corresponding patient charting forms, to support the implementation and evaluation of the INTERGROWTH-21Clinician job aids were created to facilitate the implementation of the standards and related decision-making algorithms. We also altered clinic flow processes to accommodate the introduction of ultrasound services; a separate room was designated exclusively for gestational dating ultrasounds. In the context of adapting clinical definitions of high-risk pregnancy criteria and processes for both internal and tertiary-center referrals, we trained clinicians to only do activities (like ultrasound) within their scope of practice as determined by the Nursing Council of Kenya.st standards. This was done in collaboration with the original INTERGROWTH-21st Project study team based at Oxford University and Aga Khan University Hospital (AKUH) in Nairobi, Kenya [A main aim of implementation was training Jacaranda Health staff how to use the INTERGROWTH-21i, Kenya -37.st gestational dating ultrasound, fetal growth monitoring ultrasound, and neonatal anthropometry standards. Emphasis was placed on including assessment, identification, and referral of high-risk patients as part of the study design to evaluate operational system capacity to support the implementation of the standards and their clinical implications.From October 2016 to February 2017, we conducted training of Jacaranda Health clinical and management staff on the purpose and use of the INTERGROWTH-21st standards and accompanying adaptations to charting practices and clinical protocols. Of the 23 participants in the training, 22 were nurse-midwives and one was a clinical officer; these staff provide the majority of ANC and PNC at Jacaranda Health.An obstetrician-led half-day training included essential components of ANC, basic obstetric ultrasound skills, and the INTERGROWTH-21st anthropometry trainer from AKUH provided a half-day anthropometry training which included theory, equipment, and techniques needed to perform accurate newborn length, weight, and head circumference measurements. The anthropometry trainer certified clinicians in neonatal anthropometry after they performed length, weight, and head circumference measurements accurately on newborns. One group of 24 clinicians, 23 nurse-midwives and one clinical officer, attended this training. Nearly 90% (24/28) of all full-time and part-time Jacaranda Health clinicians attended these initial trainings.An obstetrician and an INTERGROWTH-21st ultrasound measurements for the first, second, and third trimesters over the course of two weeks. At the end of the two weeks, the sonographer demonstrated proficiency in performing INTERGROWTH-21st measurements as determined by a senior radiologist at AKUH. The Jacaranda Health sonographer then trained a group of six Jacaranda Health nurse-midwives with prior experience in basic obstetric ultrasound during a half-day training on gestational dating ultrasounds. Three of the six nurse-midwives were certified to perform gestational dating ultrasounds after proving competence in performing measurements and calculating estimated delivery date accurately three consecutive times in the presence of the sonographer. This group of three nurse-midwives constitutes over 10% (3/28) of all clinicians.AKUH trained Jacaranda Health\u2019s primary sonographer in INTERGROWTH-21st standards, revised facility protocols, and adapted patient charting forms were introduced into routine clinical practice in March 2017. The clinic work flow adaptations were implemented to facilitate the identification of pregnant women eligible for ultrasound using the new standards and ensure that pregnant women were seen by the appropriate clinician. Work flow adaptations were not needed to implement the newborn size at birth standards since newborn anthropometry was an established part of routine practice.After training was completed and equipment was put into place, the INTERGROWTH-21st standards, three quality monitoring processes were utilized: expert ultrasound image review, weekly clinic stakeholder meetings, and targeted refresher training. Our protocol includes sending copies of de-identified gestational dating and fetal growth ultrasound images to the quality assurance team at Oxford University. The team reviews the images, assesses the quality of each image based on INTERGROWTH-21st guidelines, and provides guidance to Jacaranda Health staff on how to improve ultrasound quality, if needed. Images were sent to Oxford for review every two months via a double password-protected Dropbox folder. The program management team at Jacaranda Health then shared feedback from the Oxford team with the ultrasound providers to strengthen sonography skills and processes. Reinforcement training was provided by Oxford University clinical researchers specializing in sonography midway through implementation to further improve the quality of the ultrasound procedures. Challenges in clinical implementation were discussed by the clinical staff during weekly meetings, which enabled staff to quickly resolve any problems. Lastly, through chart review and observation, the clinical and project management teams had the discretion to identify clinicians who required targeted refresher training and to provide that training at any point during the study. Important project notifications and reminders were administered to all staff at weekly clinical meetings by clinic managers and project management.To ensure the quality of the implementation of the INTERGROWTH-21st standards and (2) uptake of gestational dating ultrasounds, fetal growth monitoring by ultrasound, and newborn anthropometry. These outcomes were explored through the following dimensions: feasibility, acceptability, appropriateness, adoption, fidelity and penetration [The primary study outcomes are (1) clinicians\u2019 and patients\u2019 perception of facilitators and barriers to the implementation of the INTERGROWTH-21etration .The secondary outcomes used to evaluate clinical decision-making include (1) proportion of ANC clients whose gestational age and estimated due date were correctly calculated and documented, (2) proportion of high-risk pregnant women who were referred internally to a high-risk clinician or to a tertiary care facility, (3) proportion of pregnant women receiving gestational dating scans who were induced for labor due to a prolonged pregnancy, and (4) proportion of pregnant women receiving gestational dating scans who delivered via cesarean section.During the preimplementation phase, baseline data were collected for 12 consecutive months (months 1-12) prior to the start of the implementation phase. Data were also collected for 12 consecutive months during the implementation phase (months 13-24). These preimplementation and implementation phase quantitative data come from patient charting forms completed in the two-year period. Qualitative data were also collected during the preimplementation phase (month eight) and the implementation phase (month 16 and month 24). Additionally, a one-time short provider survey was administered during the implementation phase at month 20 to assess clinicians\u2019 attitudes and acceptability of the standards. .We collected outcome data from patient charts and from a clinic log of external referrals for pregnancies and deliveries one year before and one year after the start of implementation.We conducted FGDs and IDIs with participants sampled from two population groups using purposeful and convenience sampling: (1) patients who received ANC and/or delivery care at Jacaranda Health and (2) clinicians who work directly with patients including nurse-midwives, hospital managers, ultrasonographers, and physicians.FGDs and IDIs with patients and clinicians were conducted in the preimplementation phase and twice during the implementation phase. Patients were interviewed to evaluate their perceptions, attitudes, and experiences of receiving an ultrasound for gestational dating and fetal growth, their newborn receiving a growth assessment, and their interactions with clinicians implementing this care. Clinicians were interviewed to evaluate their perceptions, attitudes, and experiences of the introduction and implementation of the new standards as part of their routine clinical practice.The research team developed semistructured discussion guides for both FGDs and IDIs, which were piloted with Jacaranda Health staff and patients. Research assistants conducted all interviews in a private and secure location and took great care to protect the identity and confidentiality of all participants. To encourage patient participation in qualitative interviews, we offered reimbursement for transportation to the facility and free refreshments after the completion of the interviews. All FGDs and IDIs were audio-recorded and transcribed verbatim by an external transcriber; in the instances that participants spoke a language other than English, the transcriber translated the recording to English for the transcript. Hand-written notes taken by the research assistant provided the context for the interviews.st standards, the ease of integration into their workflow, and their perceptions of the effect of the standards on the quality of care they provided.Additionally, a survey (10 questions) was administered by a research assistant to all clinicians during the implementation phase at month 20 via Survey Monkey on an Android tablet. Clinicians were asked to grade their comfort with the INTERGROWTH-21We used a census of clinicians and patients for this implementation study based on the inclusion and exclusion criteria described prior. According to clinic estimates and projections of ANC and delivery care utilization, data for up to 5,000 pregnant women and newborns will be recorded. The total number included in the final analysis will be based on the number of patients who meet eligibility criteria as confirmed at the time of data entry based on indicators in patient charting forms.In each time period, the sample will be stratified into the following three categories: (1) pregnant women who attended ANC at Jacaranda Health and delivered there, allowing analysis of longitudinal ANC and delivery data; (2) pregnant women who attended ANC at Jacaranda Health but did not deliver there, providing ANC data only; and (3) women who did not attend ANC but who delivered at Jacaranda Health, capturing delivery and newborn data only. All clinic managers, physicians, and nurse-midwives who met the criteria are included. Clinician attrition will be documented.Data from patient charts and referral logs were double-entered and managed in REDCap , a securMost implementation and process indicators will be measured and presented using descriptive statistics. We will analyze changes in quantitative outcomes where relevant, by evaluating the difference in response to the indicators between pre- and postimplementation. Measurements of differences in continuous data will be assessed using t-tests for data that is normally distributed; otherwise, a non-parametric test will be performed. Categorical data will be compared using a chi-squared test. Quantitative data will be analyzed using Stata 15 . All datFor each cycle of qualitative data transcription, the transcriber completed transcription of one initial data file and sent it to the qualitative data manager at Jacaranda Health for quality control prior to transcribing the rest of the data files.Qualitative data collected at each stage are being analyzed independently by two investigators using thematic coding in NVivo and compResults of the study will be shared with key stakeholders both in Kenya and globally through a national dissemination meeting, global conferences, an online knowledge management platform, and publications.The Amref Ethics and Scientific Review Committee of Kenya and the Harvard University Institutional Review Board approved all study activities, protocols, and standards prior to the commencement of study activities.Facility-level informed consent was obtained from the Jacaranda Health hospital manager, acting as the facility\u2019s representative, prior to the collection of any implementation data. The facility informed consent emphasized that no patient-identifiable health data would be shared or disseminated beyond the Jacaranda Health team. All FGD, IDI, and survey participants\u2014patients and clinicians\u2014provided written informed consent prior to any interview. Participants were informed that they could withdraw their consent at any time and be removed from the sample.st training: gestational dating ultrasound, fetal growth monitoring ultrasound, and neonatal anthropometry standards. Following the training, the implementation and study of the INTERGROWTH-21st standards as part of Jacaranda\u2019s clinical workflow took place from March 2017 through March 5, 2018. Data analysis will be finalized, and results are expected in August 2018.From October 2016 to February 2017, over 90% of all Jacaranda Health clinicians received at least one of the three aspects of the INTERGROWTH-21st standards and on the process of scaling up global standards in general, particularly in limited-resource settings. The ability to implement a standard methodology of gestational dating, fetal growth monitoring, and assessment of newborn size at birth will result in better data to enable clinicians, researchers, and policy makers to more accurately identify and quantify high-risk pregnancies, preterm birth, and fetal and neonatal growth disturbances. In turn, standardized data that is comparable across global populations empowers researchers and policy makers to better understand and act on distributions of high-risk pregnancies, restricted growth, and prematurity. Lastly, based on this data, clinical practice and resources can be modified to meet the needs of pregnant women and their fetuses and newborns to decrease the incidence and morbidities associated with poor fetal and newborn growth and prematurity.The findings of this study will have major implications on the national and global scale up of the INTERGROWTH-21While Jacaranda Health provides the right environment for this study, the generalizability of our findings needs to be carefully considered when applying lessons learned to other clinical settings. Given that clinic protocols were amended to meet the 2002 WHO ANC guidelines, which affected the criteria for high-risk referral, this change may confound the outcome of the percentage of women who are referred to high-risk care. The study is also limited in its ability to assess the long-term health outcomes of these standards, yet it will inform future research designed to assess them.st clinical standards into a low-resource setting. Due to the dearth of innovative gestational dating tools and burden of preterm birth in low-resource settings, it is particularly important to study the implementation of these standards in this setting. The results of our evaluation will provide useful insights and recommendations for further implementation in similar clinical settings in Kenya and beyond.This will be the first study to assess the feasibility and acceptability of introducing the new INTERGROWTH-21st standards and the resulting impact on short-term clinical decision-making. Lastly, Jacaranda Health is dedicated to health facility quality improvement in peri-urban Nairobi, which makes it an excellent venue for evaluating the implementation of the INTERGROWTH-21st standards and for capturing factors that facilitate and challenge that process.Additionally, the mixed-methods approach used in this study will yield unique insights into the barriers, facilitators, and process of implementing the INTERGROWTH-21"}
+{"text": "Dear Editor,In 1923, Masson initially described a process, at that time neoplastic, which consisted of vascular lumen obliteration due to papillary endothelial hyperplasia associated with degenerative changes.None declared.Sergio Emerson Sasso: Approval of the final version of the manuscript; conception and planning of the study; elaboration and writing of the manuscript; obtaining, analyzing and interpreting the data; effective participation in research orientation; intellectual participation in propaedeutic and/or therapeutic conduct of the cases studied; critical review of the literature; critical review of the manuscript.Ana Paula Naspolini: Approval of the final version of the manuscript; elaboration and writing of the manuscript; intellectual participation in propaedeutic and/or therapeutic conduct of the cases studied; critical review of the manuscript.Tassiana De Boit Milanez: Obtaining, analyzing and interpreting the data.Guilherme Suchard: Obtaining, analyzing and interpreting the data.None declared."}
+{"text": "The Mediterranean climate is characterized by hot dry summers and frequent droughts. Mediterranean crops are frequently subjected to high evapotranspiration demands, soil water deficits, high temperatures, and photo-oxidative stress. These conditions will become more severe due to global warming which poses major challenges to the sustainability of the agricultural sector in Mediterranean countries. Selection of crop varieties adapted to future climatic conditions and more tolerant to extreme climatic events is urgently required. Plant phenotyping is a crucial approach to address these challenges. High-throughput plant phenotyping (HTPP) helps to monitor the performance of improved genotypes and is one of the most effective strategies to improve the sustainability of agricultural production. In spite of the remarkable progress in basic knowledge and technology of plant phenotyping, there are still several practical, financial, and political constraints to implement HTPP approaches in field and controlled conditions across the Mediterranean. The European panorama of phenotyping is heterogeneous and integration of phenotyping data across different scales and translation of \u201cphytotron research\u201d to the field, and from model species to crops, remain major challenges. Moreover, solutions specifically tailored to Mediterranean agriculture are in high demand, as the region is vulnerable to climate change and to desertification processes. The specific phenotyping requirements of Mediterranean crops have not yet been fully identified. The high cost of HTPP infrastructures is a major limiting factor, though the limited availability of skilled personnel may also impair its implementation in Mediterranean countries. We propose that the lack of suitable phenotyping infrastructures is hindering the development of new Mediterranean agricultural varieties and will negatively affect future competitiveness of the agricultural sector. We provide an overview of the heterogeneous panorama of phenotyping within Mediterranean countries, describing the state of the art of agricultural production, breeding initiatives, and phenotyping capabilities in five countries: Italy, Greece, Portugal, Spain, and Turkey. We characterize some of the main impediments for development of plant phenotyping in those countries and identify strategies to overcome barriers and maximize the benefits of phenotyping and modeling approaches to Mediterranean agriculture and related sustainability. Mediterranean countries are important producers of vegetables, legumes, cereals, fruits, olives and olive oil, grapes, and wine. Vegetable production accounts for 13.7% of the EU\u2019s agricultural output with 63.9 million tons of vegetables grown in 2016 . Spain aTotal cereal production (rice included) in the EU reached 309 million tons in 2017, representing 12% of global production . AccordiOutside the EU, Turkey is a major contributor to European and global agricultural production. In 2017, Turkey accounted for approximately 70% (12.6 million tons) of EU tomato production . MoreoveForestry is another economically crucial sector for Europe, in addition to providing environmental sustainability and key ecosystem services. European forests can also help to mitigate the impact of climate change and enable adaptation policies. Indeed, EU forests absorb the equivalent of about 10% of the total annual greenhouse gas emissions from the EU . Forest The Mediterranean region typically experiences long periods of drought and abrupt rainstorms and floods that negatively impact on crop performance as well as the available water and soil resources. The region has typical dry periods combined with high temperatures and a marked inter-annual weather variability, which results in a large and a highly variable demand for irrigation and in higher incidence of pests and diseases . Spain, A more comprehensive understanding of the specific agricultural environment found in the Mediterranean region is required to support rural development and to meet the goals of the EU-Common Agriculture Program of CAP 2014-2020 . More prDigitization of agriculture and expansion of precision farming can reduce costs and minimize the environmental impact of agriculture . For exaPlant phenotyping, based on non-destructive image analysis, data management, and modeling, has emerged as a cutting-edge technology playing an important role in plant and agronomic sciences, namely, to design new crops, characterize the responses of genetic resources to the environment, and improve the breeding and management of crops . Therefore, implementation of such technologies is crucial for sustainable agro-food operations, while optimizing the use of natural resources such as water and soil.https://eppn2020.plant-phenotyping.eu/EPPN2020_installations#/). These high-throughput platforms are generating considerable volumes of data that provide valuable insights for plant/agronomic sciences and plant/crop breeding as evidenced by the increasing number of publications derived from these phenotyping facilities is most commonly used in high-throughput screening, with structural phenotyping and functional phenotyping being investigated in both model species and crops . Top-dowPhenotyping requires networks and interactions of sensor and data bases with biological and agricultural sciences . Phenotyping is also increasingly linked to modeling studies. Phenotyping should ideally be conducted at maximal throughput (number of units processed per unit time), resolution , and dimensionality (number of captured traits). However, in practice, a trade-off between these three phenotyping descriptors must occur due to economic, technological, time, and personnel constraints . The intTo support and accelerate plant improvement, plant phenotyping must be based on more cost-effective technologies and sensors . In thisvs. greenhouse crops, traits of interest) (see www.phenome-fppn.fr/) congregated nine phenotyping platforms, including controlled conditions (two units), semi-controlled conditions (two units), field conditions (three units), and molecular platforms (two units). This panorama contrasts with other Southern Mediterranean countries see . Yet, duest) see . In 2018http://www.plant-phenotyping-network.eu/eppn). The EPPN established a pan-European infrastructure that includes the whole phenotyping pipeline (involving sensors and imaging techniques), data analysis, and interpretation in a biological context and meta-analyses of experiments carried out on different organs and at different scales of plant organization. The EPPN currently operates in 10 countries providing access to 36 different plant-phenotyping facilities to the users. Furthermore, the European Strategic Forum for Research Infrastructure (ESFRI) has recognized plant phenotyping as a priority for the European research area to achieve food security in a changing climate context. Consequently, EMPHASIS was included in the ESFRI Roadmap 2016 (https://www.esfri.eu/roadmap-2016) as a project to develop and implement pan-European plant phenotyping facilities available to the user community. EMPHASIS aims at increasing the integration of major players and users involved in data acquisition, management, storage, and sharing, to provide a more practical use of the available phenotyping data to analyze genotype performance in diverse environments (The quest for tolerant varieties\u2014phenotyping at plant and cellular level) has further contributed to improve networking by facilitating the exchange of researchers, knowledge, skills, and training across countries, thus leveraging the absence of phenotyping facilities within some EU countries.Improved integration of phenotyping and genetic and genomic platforms and resources should facilitate increased understanding of crop performance for the development of more effective breeding strategies and also guarantee improved big data management . To accoronments . EMPHASIronments Figure 2To further enhance the sustainability of agriculture in Mediterranean countries, the establishment of phenotyping facilities remains a timely and indispensable issue. In the following section, we provide a short overview of the major characteristics of the existing phenotyping infrastructure and the knowledge and networks available in Southern Mediterranean countries.Greece and Portugal share rather similar constraints in terms of agricultural production, related to climate change vulnerability and limited investments in innovation and technology. The recent economic crisis had a marked impact on the development and use of modern technologies in the agriculture and agri-food sectors. Therefore, the panorama for plant/crop phenotyping is closely identical in the two countries and will be discussed in parallel.a (chl a) fluorescence, nutrient deficiencies, and infections have most commonly been assessed . In graia fluorescence induction transients open-field facilities to study the eco-physiological dynamics of plant species and specific crops in their natural environment ;(2) semi-controlled climate conditions within modern glasshouse facilities equipped with both contact and remote-sensing phenotyping tools to assess crop physiological performance;(3) fully controlled climate conditions (climate chamber facilities) for molecular phenotyping ; these facilities would complement the existing EPPN network, thus increasing the number of European facilities with fully controlled environmental conditions .Vitis phenotyping . For both Portugal and Greece, low-cost phenotyping approaches (and/or platforms) would be the most feasible way to move forward on the short to medium term, considering current financial constraints.For Greece and Portugal, the exploitation of current plant phenomics and crop-phenotyping technologies and strategies could provide valuable data for improved management of biodiversity resources, fostering crop/cultivar adaptability to climate and resistance against pests and diseases. However, field-phenotyping infrastructures are still unviable due to high costs. Some initiatives have been instigated to implement the use of phenotyping strategies in crop management, particularly using thermal and multispectral imaging alongside ground-based and aerial approaches (e.g. see projects INTERPHENO https://europa.eu/european-union/topics/agriculture_en).Spanish agriculture is highly competitive at both the European and global levels. The country is a major exporter of both fresh and processed agricultural and horticultural goods/products . Nevertha fluorescence, UV induced-multicolor fluorescence , and thermography using low-throughput imaging sensors for chl mography . Some grmography .Plant and ecosystem functions are also evaluated by mean of proximal and remote sensing, as well as diverse ecophysiological measurements . This reThe relationship between photosynthesis and production under drought conditions in Mediterranean crops is of special interest. The production of high-quality wines in Protected Designation of Origin Areas under a full range of climate conditions is particularly important in Spain . In grapXylella fastidiosa is a quarantine pathogen in the EU, and it has been detected in Spain, Italy, France, and Germany (https://www.eppo.int/ACTIVITIES/plant_quarantine/shortnotes_qps/shortnotes_xylella). X. fastidiosa is a threat to multiple crops across the whole Mediterranean analyses was established in 2017 to coordinate and develop plant-phenotyping research within Italy. The PHEN-ITALY network consists of 13 research organizations, universities, and regional agencies led by the National Research Council of Italy (CNR) and Agenzia Lucana di Sviluppo e di Innovazione in Agricoltura (ALSIA) where a large HTPP infrastructure is operating. CNR is a partner within the EMPHASIS-PREP. PHEN-ITALY aims to become the Italian infrastructural node of EMPHASIS. PHEN-ITALY also participates in the EPPN and the activities and projects of the International Plant Phenotyping Network (IPPN). Following the main principles of plant phenotyping (non-invasive and high-throughput measurements), the PHEN-ITALY infrastructure is based on optical systems that include a conveyor system, two imaging stations , and three computer stations to study: (i) the phenotypic background of genetically characterized crops of interest in Italy , (ii) the root to shoot architecture of plants, and (iii) the VOCs emitted by plants as markers of biodiversity and stress. For example, 3D scanning and chlorophyll fluorescence technology have been used to non-destructively assess the physiological and molecular responses to drought of tomato sprayed with a commercial mixture of amino acids and nutrients was grown around Sanliurfa between 10,000 and 12,000 years ago is crucial to understand crop/plant responses to the environment, but such integrated information remains comparatively limited. Moreover, we must identify which traits to phenotype, and at which moment of the plant\u2019s life cycle this should be done in a fast but robust way. These major questions must be addressed along with more specific issues during any investigation. The lack of integrated phenotyping data is a general drawback in plant phenotyping but is of particular importance in the Mediterranean region and related agriculture due to the structural complexity of field cropping systems . The use of non-invasive methods facilitates more objective and repeatable measurements of traits such as plant architecture, fruit quality, and/or the impact of biotic or abiotic stress under field conditions. Moreover, improvements in phenotyping imaging technology are resolving limitations associated with variable backgrounds and light conditions . To effehttps://emphasis.plant-phenotyping.eu/modelling). HTPP platforms and tools offer a new avenue in the parameterization of models to scale up data from molecular and morphological levels to breeding. Integration of phenotyping data with crop growth models can provide the means to evaluate and quantify the usefulness of agronomic practices to optimize resource use, as well as generate genotypes for different environmental contexts such as resilience to climate change. To this end, different classes of G2P (genotype-to-phenotype) models have been shown to help predict complex phenotypic traits as functions of GxExM interaction demand improved selection criteria and phenotyping strategies for both field and greenhouse conditions. To achieve this, we must: (1) define selection criteria for crop and phenotyping traits, according to the specific breeding needs of each country/region; (2) optimize the practical implementation of phenotyping efforts, as a function of the specific conditions of each country; (3) raise financial support among public and private stakeholders, and (4) include HTPP in national research policies for agriculture.Increasing integration of information across HTPP facilities or different biological levels to bring together farmers, the agro-industry, government, and consumers to identify the most adequate strategies to face the adversities associated with climate change in Mediterranean countries . The rolThe rapid (and expensive) development of phenotyping technologies can partly explain the heterogeneous panorama of phenotyping infrastructure within Europe. Indeed, differences in the establishment of infrastructure, budget, knowledge, and technological capacities are apparent when comparing Northern and Southern European countries. There are further differences amongst Mediterranean countries as well. The major ones are apparent in the available infrastructure, availability of qualified labor, dimension of the companies , and priorities of national and international networks. Solutions to the lack of financial resources, a problem common to Mediterranean countries are needed. Public\u2013private partnerships could assist in resolving this lack of investment and foster political will. This public\u2013private approach is already being implemented in some countries through the close cooperation of academic research institutes and commercial-breeding companies.2, etc.). In this way, it will be possible to properly assist breeding and selection of genotypes/phenotypes better suited to the prevailing and forthcoming climatic conditions in the Mediterranean. In parallel, the development of image processing, analysis, and modeling is also crucial to ensure relevant outputs. Interdisciplinary education of young researchers and technicians, from both public and private sectors, will also benefit from the establishment of phenotyping infrastructures.The establishment of phenotyping and phenomics facilities and infrastructures in Southern EU member states is crucial to meet the EU 2020 targets of smart specialization, sustainable growth, and the development of an inclusive and circular economy. Particularly in light of the budget limitations, commonly experienced by Southern European countries, phenotyping infrastructures should rely on simple, lower cost, and rapid methods, which are user-friendly, reliable, and robust. Improved phenotyping approaches will enhance our understanding of crop responses to Mediterranean climate conditions should be encouraged to implement phenotyping technologies in agricultural and climate change scenarios and to further incorporate genetic and molecular approaches to improve crop productivity.All authors wrote the paper and read and approved the final manuscript.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "The United States and Mexico differ greatly in the organization and financing of their old-age welfare states. They also differ politically and organizationally in government response at all levels to the needs of low-income and frail citizens. While both countries are aging rapidly, Mexico faces more serious challenges in old-age support that arise from a less developed old-age welfare state and economy. For Mexico, financial support and medical care for older low-income citizens are universal rights, however, limited fiscal resources for a large low-income population create inevitable competition among the old and the young alike. Although the United States has a more developed economy and well-developed Social Security and health care financing systems for the elderly, older Mexican-origin individuals in the U.S. do not necessarily benefit fully from these programs. These institutional and financial problems to aging are compounded in both countries by longer life spans, smaller families, as well as changing gender roles and cultural norms. In this interdisciplinary panel, the authors of five papers deal with the following topics: (1) an analysis of old age health and dependency conditions, the supply of aging and disability services, and related norms and policies, including the role of the government and the private sector; (2) a binational comparison of federal safety net programs for low-income elderly in U.S. and Mexico; (3) when strangers become family: the role of civil society in addressing the needs of aging populations; and (4) unmet needs for dementia care for Latinos in the Hispanic-EPESE."}
+{"text": "Methopolophium dirhodum Walk.) is a major pest of maize (Zea mays L.), but little is known about the biochemical interactions between M. dirhodum and its host plant. Thiol compounds and glutathione S-transferase (GST) play a crucial role in the defense responses of maize to biotic stress factors, including aphids. The purpose of this research was to evaluate the impact of M. dirhodum herbivory on the total thiol (TT), protein bound thiol (PT), reduced glutathione (GSH) and oxidized glutathione (GSSG) contents as well as the activity of GST in three varieties of Z. mays , that were classified as aphid-susceptible, aphid-relatively resistant and aphid-resistant, respectively. The earliest and strongest aphid-triggered alterations in the levels of TT, PT and GSH, and the greatest induction of GST activity, were recorded in the resistant P\u0142omyk seedlings in relation to the relatively resistant Ambrozja and the susceptible Z\u0142ota Kar\u0142owa.The rose-grass aphid ( Zea mays L.) is one of the most important crops worldwide and its economic importance is growing \u201378M. dire plants .M. dirhodum attacks are based on the metabolism of thiol compounds, which is evidenced by alterations in the level of total thiols, protein-bound thiols and GSH, as well as by the activity of GST. The fluctuations in thiol content and GST activity were dependent on the maize variety, the number of aphids and the duration of M. dirhodum feeding. The strongest modulation of the antioxidant system related to sulfhydryl compounds was noted in the resistant variety, P\u0142omyk, which highlights the role of thiols in the resistance of maize genotypes to aphids.In conclusion, our experimental results indicate, that the defense mechanisms of maize plants against"}
+{"text": "Scientific Reports 10.1038/s41598-017-10365-3, published online 30 August 2017Retraction of: This Article is being retracted at the request of the corresponding author, because the authors did not obtain relevant permissions from the Liver Cancer Laboratory at Xiangya Hospital, Central South University, who is the owner of some of the clinical specimens and related data for the use of these materials in the study.Xiong Lei, Shuai Xiao, and Taiyuan Li agreed to the retraction. The other authors could not be reached."}
+{"text": "The International Federation of Pigment Cell Societies (IFPCS) held its XXIII triennial International Pigment Cell Conference (IPCC) in Denver, Colorado in August 2017. The goal of the summit was to provide a venue promoting a vibrant interchange among leading basic and clinical researchers working on leading-edge aspects of melanocyte biology and disease. The philosophy of the meeting, entitled Breakthroughs in Pigment Cell and Melanoma Research, was to deliver a comprehensive program in an inclusive environment fostering scientific exchange and building new academic bridges. This document provides an outlook on the history, accomplishments, and sustainability of the pigment cell and melanoma research community. Shared progress in the understanding of cellular homeostasis of pigment cells but also clinical successes and hurdles in the treatment of melanoma and dermatological disorders continue to drive future research activities. A sustainable direction of the societies creates an international forum identifying key areas of imminent needs in laboratory research and clinical care and ensures the future of this vibrant, diverse and unique research community at the same time. Important advances showcase wealth and breadth of the field in melanocyte and melanoma research and include emerging frontiers in melanoma immunotherapy, medical and surgical oncology, dermatology, vitiligo, albinism, genomics and systems biology, precision bench-to-bedside approaches, epidemiology, pigment biophysics and chemistry, and evolution. This report recapitulates highlights of the federate meeting agenda designed to advance clinical and basic research frontiers from melanoma and dermatological sciences followed by a historical perspective of the associated societies and conferences. The XXIII IPCC encompassed a series of opening and award lectures, including the IFPCS Presidential lecture and honorary lectures by the recipients of the Fitzpatrick, Lerner, and Seiji Awards. These awards are bestowed by regional pigment cell societies to leading international scientists who have made extraordinary contributions to pigment cell research. There were 8 plenary sessions and 32 concurrent sessions accomplishing a balance between clinical and basic melanoma and dermatology research.In addition to opening lectures, the first day included a plenary session on the evolution of pigmentary systems across the animal kingdom and three concurrent sessions on advances in vitiligo, melanocyte, and melanoma biology as well as disease management. On the second day, two plenary sessions covered fascinating advances in the genetics of coloration in various animal species and in UV light responses and DNA repair. The fourth day included two plenary sessions and four concurrent sessions that emphasized basic biology of melanoma and the latest developments in translational melanoma therapies and resistance. Day five was headlined by a plenary session with keynote speakers on the impact of regenerative medicine on pigmentary diseases and a plenary session on the immunologic control of melanocytes and melanoma. General sessions covered evolutionary biology of pigmentation, developmental biology, genetics, genomic profiling, neuroscience and pigmentation, melanocyte stem cells and regenerative medicine, hair biology, mouse and non-mouse models of pigmentation, melanosome biogenesis and transfer, melanin function and chemistry, and UV signaling in the melanocyte. The program also included three lunchtime poster sessions with presentation of about 200 posters. Importantly, sessions were specifically dedicated to provide mentoring and career opportunities for young scientists, women in science, and underrepresented minorities in science.The basic and clinical melanoma research sessions presented a state-of-the-art picture of immunotherapy, precision medicine, and genomic profiling of skin cutaneous, uveal, mucosal, and acral melanoma . KeynoteMC1R) variants. Dr. Nicolas Hayward delivered analysis of whole-genome sequences from cutaneous, acral and mucosal subtypes of melanoma. In contrast to frequently occurring coding and non-coding mutations in cutaneous melanoma, the Australian consortium resolved structural changes and novel signatures of mutagenesis in acral and mucosal melanomas, not previously identified in melanoma [Highlights included updates on precision dermatology, bench-to-bedside approaches, genome-wide association studies, genetic diversity of pigmentation, and progress in immunotherapy . Dr. Ianmelanoma .A number of presentations also explored the genetic diversity of pigmentation in non-human and non-mouse systems. Dr. Cheng-Ming Chuong presented a novel foray into the world of feather pigment pattern formation, where color patterns important for animal behavior and speciation is modulated by the presence, arrangement, or differentiation of melanocytes . Among mThe International Pigment Cell Conference has emerged as the sole international scientific convention devoted to the study of the normal pigment cell and the advancement of basic, translational, and clinical research on diseases involving pigment cells. The first meeting was held in New York in 1946 and reconvenes on a triennial basis was developed first as the International Pigment Cell Society and then formalized as IFPCS in 1990. With the IFPCS formally acting as a means to provide interaction between the independently formed sister societies, the IPCC meeting was chartered as a main function of IFPCS. The Japanese Society for Pigment Cell Research (JSPCR) was founded in 1984, the European Society for Pigment Cell Research (ESPCR) in 1985, the Pan-American Society for Pigment Cell Research (PASPCR) in 1988, and the Asian Society for Pigment Cell Research (ASPCR) in 2004, each becoming members of IFPCS at that time. Thus, the mission of the IFPCS is to disseminate cutting edge research via the publication of the federation\u2019s journal, The XXIII IPCC, representing the four member Pigment Cell Societies of the International Federation, was hosted by the Pan-American Society for Pigment Cell Research in Denver, Colorado, on 26\u201330 August 2017. 540 registrants from 28 countries participated in the 8 plenary and 32 concurrent sessions. 8 keynote speakers led the program, along with 21 plenary session speakers and 80 invited speakers. A further 103 speakers were chosen from submitted abstracts. The main program was complemented by four pre-conference satellite symposia and four pharmaceutical company sponsored symposia. The annual meeting of the Melanoma Prevention Working Group (MPWG) was hosted for the first time at the IPCC meeting. The MPWG functions under the umbrella of the Southwest Oncology Group (SWOG) and the Eastern Cooperative Oncology Group (ECOG). The MPWG meeting promoted clinically relevant research focused on key aspects of melanoma prevention and discussed innovative paths forward into clinical trials of chemoprevention agents for high-risk melanoma patients . The comA major program highlight was a dedicated session on advances in basic and clinical research on albinism. Albinism is a rare genetically inherited condition affecting approximately one in twenty thousand people in most world populations. Albinism occurs at relatively high frequency in sub-Saharan Africa. People with albinism experience visual deficits, hypopigmentation, and sun-sensitivity. In less advanced societies, people with albinism may not have access to healthcare specialists, sunscreen, or protective clothes. Moreover, in sub-Saharan Africa, a humanitarian crisis is presently underway affecting patients with this disease . The dedBreakthroughs in Pigment Cell and Melanoma Research. In essence, IPCC 2017 was at once an outreach to all members of the community and a call to stand unified in facing potential funding challenges as a field.IPCC 2017 was planned for late summer, 26\u201330 August 2017 in downtown Denver, Colorado. The strategy for designing and marketing of IPCC 2017 was informed by multiple lines of reasoning. First, with new melanoma therapies providing improvements in medical care, the field has progressed in an increasingly clinical direction, in some ways diminishing the focus on the basic research that has given rise to successful treatment strategies. Inevitably, new strategies will be needed to further advance the treatment of melanoma patients, and without a strong basic research base, these advances will not be possible. Moreover, successes in the translational arena of melanoma need to be duplicated in other key areas of pigment cell research, including vitiligo, melasma, and other pigmentary diseases. Providing a strong conference venue to support basic research in pigmentary diseases and melanoma in essence embraced the true mission of the IPCC meeting and of the IFPCS organization. A second influencing factor in designing IPCC 2017 was the recognition that with the World Melanoma Congress (WMC) associated with the Society for Melanoma Research (SMR) being scheduled for Brisbane in October, the IPCC would be the only major melanoma meeting to be held in the Northern Hemisphere in 2017. Thus a strong focus on melanoma would allow North American clinicians and researchers proximal access to the latest advances in the field. The third factor embraces all who are interested in pigment cell biology and disease by providing a comprehensive format for promoting interchange between such diverse groups of researchers. Thus, the theme of IPCC 2017 was strategically chosen as Initially, a dual focus on pigmentary disease and melanoma seemed to allow maximal opportunity for industry based meeting support. With strong support from the melanoma committee, major pharmaceutical company support was obtained to support the melanoma program. However, it proved more challenging to raise support from companies with an interest in pigment cell function and disease. This was compensated for by outstanding institutional support from groups within the University of Colorado system affiliated with the local organizing committee. Consequently, the meeting was supported by the melanoma related pharmaceutical industry, the University of Colorado, by conference registration fees and even through generous support from speakers, session chairs and attendees.The IFPCS is a vital global umbrella organization for the regional pigment cell societies. Over more than seven decades, the triennial IPCC has been an opportunity for scientist across the globe to gather to discuss recent findings, progress, and ongoing research. Consistently, the federation and local societies have provided the international research community with essential resources on all aspects of pigment cells including development, cell and molecular biology, genetics, diseases of pigment cells including melanoma.Melanoma to Vitilio: The Melanocyte in Biology and Medicine at Glendan Beach, OR commencing on October 17\u201322, 2018. The IPCC 2020 will be hosted in Yamagata, Japan from 18\u201321 July 2020. The title and focus of the XXIV triennial IPCC will be Integration of Basic Science and Clinical Practice in Pigment Cell Biology.In 2018, the Montagna Symposium on the Biology of the Skin and the Annual meeting of the Pan-American Society for Pigment Cell Research will host a joint conference entitled"}
+{"text": "With the rise of older adults and the number of chronic health issues in this population, comes the need for greater collaboration across organizations and health care settings. Age-friendly health systems offer the benefits of providing the best care possible to individuals and families, connect people to specific community resources, and optimize the best access to services and programs. The Gateway Geriatric Workforce Enhancement Program (GWEP) has combined the efforts of Saint Louis University and a rural, critical access hospital to establish a care network across Missouri. Together, this partnership has created a number of services, initiatives, and projects to help older adults maintain independence and offer families ways to take of their loved ones in more effective ways. In this symposium, presenters from Social Work, Marriage and Family Therapy, Geriatric Medicine, Psychology and Nursing disciplines will introduce several areas of this age-friendly network. The four abstracts for this symposium include: 1.) Assessing At-Risk Older Adults through the Rapid Geriatric Assessment, 2.) Cognitive Stimulation Therapy for Individuals with Memory Loss, 3.) Predictors of Falls in Older Adults Across Partner Settings, and 4.) Development of program initiatives such as the Rapid Geriatric Assessment screening, Cognitive Stimulation Therapy, Falls Assessment in Seniors, and Care for Persons with Dementia in their Environments will be covered in detail. At the end of the four presentations, the presenters will highlight the importance of this collaborative network and ways for audience members to consider building an age-friendly network in their community."}
+{"text": "The identification and development of cancer biomarkers and targets have greatly accelerated progress towards precision medicine in oncology. Studies of tumor biology have not only provided insights into the mechanisms underlying carcinogenesis, but have also led to discovery of molecules that have been developed into cancer biomarkers and targets. Multi-platforms for molecular characterization of tumors and blood-based biopsies have greatly expanded the portfolio of potential biomarkers and targets. These cancer biomarkers have been developed for diagnosis, early detection, prognosis, and prediction of treatment response. The molecular targets have been exploited for anti-cancer therapy with proven benefits in improving treatment response and survival. However, plenty of research opportunity exists for discovering, developing, and validating cancer biomarkers and targets for improving the clinical outcomes of patients with malignant diseases, particularly those in the digestive system.Pancreatic-hepato-biliary and gastrointestinal carcinoma are among the most lethal human malignant diseases . With thBiomedicines comprises a variety of articles about recent advances in the discovery, characterization, translation, and clinical application of cancer biomarkers and targets in the digestive system. These articles include original research, reviews, case studies, and conference papers. At the Multi-Disciplinary Patient Care in Gastrointestinal Oncology conference in Hershey, Pennsylvania, the new frontiers in various aspects of digestive organ cancers were presented [This Special Issue of resented . In thisresented . The bioresented . In thisresented . MoreoveA number of articles in this Special Issue examine the biomarkers and targets with a focus on cancer in individual organs, including liver. While liver transplantation is a potentially curative treatment of hepatocellular carcinoma, liver graft injury has been identified as an acute phase event that leads to post-transplant tumor recurrence. Lee et al. examined this acute phase event at the molecular level by transcriptomic analysis of liver grafts from recipients with or without tumor recurrence following liver transplantation . This stBesides hepatocellular carcinoma, several articles focus on cancer biomarkers and targets in the gastrointestinal tract. Fonkoua and Yee present a critical review of the molecular characterization of gastric carcinoma by the Cancer Genome Atlas Research Network, the Asian Cancer Research Group, and tumor molecular profiling through expression analysis and genomic sequencing of tumor DNA . These mDespite advances in developing clinically useful biomarkers and targets in gastrointestinal cancers, relatively little progress has been made for patients with pancreatic carcinoma. While early detection of pancreatic carcinoma is critical for improving patient survival, agents that selectively target pancreatic tumor are expected to enhance therapeutic efficacy. In this Special Issue, Matters and Harms present a detailed review of G protein-coupled receptors, which are key target proteins for drug discovery. They further discuss the potential of GPCRs as biomarkers for tumor imaging and targeted treatment of pancreatic carcinoma .Research on discovery and development of cancer biomarkers and targets has been steadily progressing. Rigorous investigation for identification and validation of biomarkers and targets in both preclinical models and clinical studies are expected to generate new opportunities for making a positive impact on survival and quality of life in the patients. The articles in this Special Issue provide an update on the frontiers in gastrointestinal oncology, with a focus on biomarkers and targets in cancers of the digestive system. We hope this Special Issue will help stimulate research collaboration on developing strategies for prevention, early detection, diagnosis, and screening of cancers in digestive organs, as well as improving treatment outcomes and psychosocial support in patients with these malignant diseases. In particular, liquid biopsy for cancer biomarkers and targets has been a major focus of research with translation into clinical applications.Recent advances in plasma-derived extracellular vesicles (EVs) have demonstrated the potential of making a clinically meaningful impact in the field of cancer biomarkers and targets. Analysis of EV-derived molecular markers is complementary to the conventional diagnostic modalities. By application of nano-, micro-, digital-, and microarray-based technologies, multiplex analysis of disease-specific markers is expected to improve the sensitivity and specificity of bodily fluid-based biopsies for diagnosis of cancer. These minimally invasive diagnostic tools that utilize ultra-low sample volume may prove to be economically cost effective for screening of cancer in the high-risk population and even in the general population. In addition to this, increasing evidence has indicated the potential value of blood-based biopsies in combination with tumor molecular profiling for developing predictive biomarkers of treatment response, as well as personalized targets of therapy. Further development, optimization, and clinical validation of these cancer biomarkers and targets will hopefully enable us to attain the goal of precision medicine in cancer of digestive organs."}
+{"text": "Click chemistry has great potential for use in binding between nucleic acids, lipids, proteins, and other molecules, and has been used in many research fields because of its beneficial characteristics, including high yield, high specificity, and simplicity. The recent development of copper-free and less cytotoxic click chemistry reactions has allowed for the application of click chemistry to the field of medicine. Moreover, metabolic glycoengineering allows for the direct modification of living cells with substrates for click chemistry either in vitro or in vivo. As such, click chemistry has become a powerful tool for cell transplantation and drug delivery. In this review, we describe some applications of click chemistry for cell engineering in cell transplantation and for drug delivery in the diagnosis and treatment of diseases. The iEDDA reaction has been used for the visualization of both antibodies and tumor tissues by PET imaging. Rossin et al. applied the iEDDA reaction for the selective cleavage of tumor-bound ADCs for cancer therapy [Since the iEDDA reaction has the fastest reaction rate of the bioorthogonal reactions , its app quality . They syon doses ,97. Theson doses . They sy therapy . First, In this review, we discussed the application of copper-free click chemistry for cell engineering in cell transplantation and drug delivery. Although certain factors remain unclear, including the safety of utilizing copper-free click chemistry and metabolic glycoengineering, these reports suggest that copper-free click chemistry is a powerful tool for cell engineering and drug delivery. As such, high biocompatible and fast copper-free click chemistry and its application in the biological and medical fields can be expected to develop further in the near future."}
+{"text": "Recent evidence has suggested that polyphenol-rich foods intake may be associated with decreased risk of chronic diseases. The Special Issue \u201cEffects of Polyphenol-Rich Foods on Human Health\u201d comprised 64 peer-reviewed papers on the most recent evidence regarding the dietary intake of polyphenols and polyphenol-rich foods, as well as their effect toward the prevention and treatment of non-communicable diseases. Original contributions and literature reviews demonstrated the potential protective effects of polyphenol-rich foods and their extracts toward cardiovascular diseases, certain cancers, and neurodegenerative diseases, mostly through anti-oxidant and chemo-preventive properties. Over the last years, polyphenol-rich foods and polyphenols have received great attention due to their potential beneficial effects toward human health. Contained not only in fruits and vegetables, but also in whole-grains, nuts, olive oil and beverages such as coffee and tea, they are characteristic components of healthy dietary patterns . Recent This Special Issue \u201cEffects of Polyphenol-Rich Foods on Human Health\u201d comprises 64 peer-reviewed papers, including 43 original research papers ,48,49,50The Special Issue included systematic reviews and meta-analysis summarizing the level of evidence on both polyphenols and polyphenol-rich foods. In particular, published articles demonstrated that a moderate intake of coffee is inversely associated with the risk of hypertension , and canEpidemiological and clinical studies reported the following associations of polyphenols and polyphenol food extracts: silibinin and non-alcoholic fatty liver disease ,39, resvImportantly, numerous reviews summarized the evidence regarding polyphenols and polyphenol-rich foods and their association with NCDs related to oxidative stress and inflammation, including CVDs, diabetes, hypertension, obesity, certain cancers and neurodegenerative diseases ,69,70,71Several contributions investigated polyphenol metabolism and transformation into bioavailable molecules and underlined the importance of the clarification of the metabolic fate of polyphenols and their bioavailability in order to fully understand the molecular forms responsible for the preventive actions of polyphenols ,35,36,43Polyphenols have been demonstrated to be responsible for the anti-inflammatory and antioxidant properties of potentially functional foods. Numerous studies explored in detail the molecular mechanisms underlying the protective effects of polyphenols, including antioxidant capacity, that can be attributed to the regulation of redox enzymes through reducing reactive oxygen species (ROS) production and modulation of the II-phase enzymes responsible for the cellular oxidative response; other studies explored the chemo-preventive effects of polyphenols, including the elimination of carcinogenic agents, the modulation of pathways responsible for cancer cell signaling and cell cycle progression, and in the promotion of apoptosis ,48,49,50Nutrients for their professional help in the completion of this Special Issue.As a guest editor, I would like to acknowledge all the authors for their valuable contributions and the reviewers for their constructive remarks. Special thanks to the publishing team of the journal"}
+{"text": "An ad hoc committee of the National Academies of Sciences, Engineering, and Medicine examined the potential for integrating services addressing social needs and the social determinants of health into the delivery of health care to achieve better health outcomes and to address major challenges facing the U.S. health care system. These challenges, include persisting disparities in health outcomes among vulnerable subpopulations, often defined by a number of factors including age. Presenters will discuss and provide recommendations in the following areas: 1. evidence of impact of social needs care on patient and caregiver/family health and wellbeing, patient activation, health care utilization, cost savings, and patient and provider satisfaction; 2. opportunities and barriers to expanding historical roles and leadership of social workers in providing health-related social needs care and evidence-based care models that incorporate social workers and/or other social needs care providers in interprofessional care teams across the care continuum and in delivery system reform efforts ; and 3. realized and potential contributions of social needs care to make health care delivery systems more community based, person- and family/caregiver-centered, and responsive to social and structural determinants of health, particularly for vulnerable populations and communities, such as older adults and low-income families. Examples for each of the three areas will also be presented."}
+{"text": "Otala lactea snails during estivation arrest of transcriptional and translational activity, (ii) depression of metabolic rate, (iii) re-wiring of energy metabolism pathways toward fermentative rather than oxidative routes, (iv) activation of mechanisms involved in both macromolecular repair and detoxification of cellular-derived oxidants toward a reduced state, favoring the production of superoxide radicals , followed by up to 40\u201360% reductions (from 7 to 21 days) , and GPX activities by 53 and 100%, respectively, upon severe hypoxia further understand the molecular mechanisms controlling the hormetic POS phenomena, for example providing evidence for the role of kinases/phosphatases in the improvement of the antioxidant response in hypoxic tolerant species, and (ii) keep searching for the POS-response in nature (Moreira et al., MO, DM, and MH-L worked on the concept of hormesis and its application on the POS theory. DM, TF, and MG contributed with key examples of POS-related studies. MO and MH-L drafted the manuscript, which was reviewed and approved by all authors.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "This systematic review aimed to examine the associations between health-related outcomes and the built environment (BE) characteristics of compact metropolitan cities in Korea using the Preferred Reporting Items for Systematic Reviews and Meta-Analyses (PRISMA) framework. Searching the three Korean academic databases and PubMed, two independent reviewers identified 27 empirical articles published between 2011 and 2016. Data extracted for review included the study characteristics, the variables and measurement methods related to the BE and health-related outcomes, and the findings on the associations between the BE characteristics and health-related outcomes. Vote counting was used to assess the consistency of associations and the direction of associations between the BE characteristics and health-related outcomes. All of the reviewed studies used cross-sectional designs. The objective BE qualities were commonly examined. The BE characteristics associated with health-related outcomes in the reviewed articles included land use, street environment, transportation infrastructure, green and open spaces, and neighborhood facilities. Street environment, transportation infrastructure, and green and open spaces had consistent positive associations with physical health. Mixed land use and neighborhood facilities, however, had inconsistent associations with physical health. Generally, insufficient findings were reported in the association between the BE characteristics and mental and social health. The accessibility of the BE in a compact urban environment was the prominent attribute related to health promotion, health challenges, and health equity. An international comparative analysis of compact cities with different urban contexts and scale is required. Interdisciplinary urban health strategies are recommended based on the associations between the BE characteristics and health-related outcomes. As health promotion strategies targeting policy, system, and environment changes become more important, the built environment (BE) is becoming a key element of interventions . The BE In the Global Report on Urban Health, the World Health Organization (WHO) indicated the influence BE conditions have on public health, notably in the urban context . This iswhat aspects of and how the BE in metropolitan cities affects public health. The impact of BE on public health is a topic that has been studied extensively around the world. Existing literature suggests that mixed land use, street connectivity, public transportation, and green space are positively related to physical activity and weight loss ,7. Furth2, (2) an independent budget management system, (3) public transit infrastructure (subway and bus), and (4) an urban master plan for compact urban design [The Organisation for Economic Co-operation and Development (OECD) recommends that metropolitan cities adopt a compact urban design to solve urban problems caused by high population density and inefficient land use . Metropon design . AccordiThe health status of residents in Korean metropolitan cities is complicated. The following indicators were better than the WHO average in 2016: Life expectancy at birth was 82.7 years, prevalence of insufficient physical activity was 35.4%, prevalence of depressive disorders was 3.0%, and the prevalence of obesity was 26.0% ,14. On tAlthough Korean studies on the BE and health have been conducted since 1978, there have been scare attempts to integrate the results of BE characteristics that affect the health of urban populations. These studies have focused on different BE and health-related variables, and have used different methods and measurement criteria . They alThis study followed the Preferred Reporting Items for Systematic Reviews and Meta-Analyses (PRISMA) framework for conducting and reporting systematic reviews . The rev-Studies conducted in Korean metropolitan cities.-Studies that objectively or subjectively measured the BE reported as independent variables.-Studies that objectively or subjectively measured health-related outcomes .-Peer-reviewed and fully published articles.-Published articles written in Korean or English.Studies were selected by applying the eligibility criteria of settings, study design, methods, and outcome measures. Inclusion criteria were: -Studies that objectively or subjectively measured indoor facilities and working facilities reported as independent variables.-Studies that objectively or subjectively measured the natural environment reported as independent variables.-Systematic reviews.-Qualitative studies.-Studies conducted to develop the BE measuring instrument that does not analyze the correlation with health.-Descriptive studies with only bivariate analysis.Exclusion criteria were:Between February and June 2017, we conducted literature searches in three Korean academic databases and PubMed. The search terms were identified from previous related reviews and the Data extracted included the characteristics , the BE variables and measurement methods, health-related variables and measurement methods, and significant and non-significant findings on the correlation between the BE characteristics and health-related outcomes.To include all the BE variables across studies, we listed and categorized each variable and construct of the BE characteristics . The BE Vote counting was conducted to summarize the number of studies reporting significant and non-significant findings and the direction of the associations between the BE characteristics and health-related outcomes. The Cochrane handbook indicates that vote counting may be useful when statistical meta-analysis cannot be applied due to the heterogeneity of measured outcomes .\u201cConsistent association\u201d was defined as 75% to 100% of the significant findings reporting the same direction within the BE characteristics (c.f. <75%: \u201cinconsistent association\u201d) [In order to clarify the direction of association, we classified the findings as positive or negative as a result of the direction of health promotion. The consistency of associations between the BE characteristics and health-related outcomes was determined by five studies or more that reported significant findings to sufficiently indicate consensus .In the first PRISMA stage, 1077 articles were selected . Of thesThe number of publications has increased in recent years. Researchers represented 12 fields of study, primarily urban planning and design (39%). Some studies (14%) involved researchers from two disciplines. Only three studies were conducted by public health researchers (11%). Overall, Korean studies tended toward a mono-disciplinary approach from the perspective of urban planning rather than public health.All studies used a cross-sectional design. The research setting was as follows: 67% in the capital city, 22% in the metropolitan cities, and 11% in both. More than half the studies (56%) had participants of specific age groups, including adolescents (15%), adults (22%), and the elderly (19%), and 44% had participants of all ages. One study used comHealth-related variables were classified according to the physical, mental, and social health domain. Most studies (81%) used physical health-related variables to examine the relationship between the BE and health, including health-related behaviors, illness or death, and perceived health status. The health-related behaviors included moderate or high intensity physical activity, walking, sedentary behavior, and dietary behavior, with walking being the most common ,41,45,46About one-fifth (19%) of the studies examined the relationship between the BE and mental and social health. The mental health-related variables included prevalence of mental illness and levels of depression, stress, and self-esteem. Of these, depression was used in four studies as a measure of mental health ,28,30,37We investigated the associations between the BE characteristics and health-related outcomes. As noted earlier in Mixed land use had an inconsistent association with physical health ; five ouNon-consistent associations were found between mixed land use, mental health, and social health ,43. MixePedestrian-friendly environments had a positively consistent association with physical health . The higher density and shorter distance of welfare centers were correlated with reduced depression . PerceivThis systematic review has clarified the association between the BE and health in compact metropolitan cities. Empirical research on the BE and health in Korean metropolitan scale cities has been conducted primarily in the fields of urban planning and urban design. All studies reviewed were cross-sectional. Among the studies using secondary data, none conducted detailed spatial unit analyses at the community level, which Lee considerThe BE characteristics that affected health were land use, street environment, transportation infrastructure, green and open spaces, and neighborhood facilities, which aligns with previous studies . The BE The health-related outcomes in the included studies focused on physical health, with few studies including the mental and social health domains. This result supports previous findings suggesting associations between the BE and health lacked an integrated view of health and multi-domain considerations . To overIn previous studies, mixed land use has been reported to be a key strategy for compact city policies that contribute to reduced obesity and promote physical activity ,58. HowePedestrian-friendly environments promote walking and social activities of urban residents. In particular, safety and accessibility were important attributes of the pedestrian-friendly environment ,41,43,49Safety and accessibility can serve as factors for cities to stay active for 24-h, but they can lead to negative health outcomes. Koo et al. pointed In our study, transportation infrastructure has been found to be associated with the promotion of physical and social health through public transportation and bicycle use; whereas, automobile use has a negative impact on physical activity and community safety. These findings support the health promotion effect of active transportation that restrains the use of vehicles and promote the use of bicycle and public transportation ,63. In aWe found that the proportion of parks and green spaces was associated with physical and mental health. However, if the green area of the city is excessively large, it would interfere with spatial connectivity and have a negative effect on physical, social, and mental health. This supports the hypothesis that open spaces only promote walking up to a certain size threshold . Some stWhen neighborhood living facilities are safe, close and convenient to use, outdoor activities are frequently performed, opportunities for social relationships increase, and depression decreases. In terms of equitable utilization of community assets, physical and economic accessibility and the spatial distribution of neighborhood facilities are related to health equity. This suggests that the strategic utilization of neighborhood facilities as a daily life condition for local residents can lead to the social participation of vulnerable groups and physical health promotion . In our Overall, we found that BE characteristics in compact metropolitan cities associated to health-related outcomes had accessibility as a common attribute. The accessibility of the BE contributed to health promotion in terms of resource availability. Urban planning and policies for compact cities positively affected walking for travel and physical activity, and promoted social interactions and networks ,48,49,50However, the accessibility of the BE produced some health challenges: 24-h facilities near the residential area increased fatigue and the obesity rate of residents by increasing their nighttime activity and chances of eating later in the evening ,35. MixeThe accessibility of the BE is an important health equity issue. Areas with a low density of public transport and neighborhood facilities tended to worsen the physical, mental, and social health of the residents. In urban areas with low access to the BE, physical activity and walking decreased, obesity increased, and residents had difficulty maintaining and forming social relationships ,42,43. TThe association between the BE and health studied in the Korean metropolitan cities with a compact urban environment was mostly consistent with that found in urban health research conducted at other urban scales. However, there were differences for some health-related outcomes, the criteria for spatial accessibility, and the BE variable of density. These differences were attributed to the dense and complex urban structure of Korean metropolitan cities and the manner in which the decision-making of health behavior interacts with the perceived environment. Therefore, health promotion strategies aimed at environmental change should consider the environmental specificity and the attributes of the perceived environment related to health behaviors.Because this study only examined studies published in peer-reviewed journals, high-quality research published outside of peer-reviewed journals was included in the results. This review was limited to studies published from 2011 to 2016, and some studies might have been left out of the review because of the limitations of the search terms, search criteria, and search databases used. Additionally, quality assessment was not conducted, and all the included studies used cross-sectional designs. The causal assumption and true effects are difficult to determine by synthesizing results from cross-sectional studies.Despite these limitations, due to a systematic review by following PRISMA, the consistency and direction of findings across studies reviewed were rigorously examined. We also identified the BE variables and measurement methods, and health-related variables and measurement methods. These results strengthen the existing evidence for the associations between the BE and health and provide research design and methodological implications for future research on the BE and health.This study systematically examined the associations between the BE characteristics and health-related outcomes in compact metropolitan cities in Korea and identified the health benefits and risks of the particular BE characteristics in such cities. All of the reviewed studies were cross-sectional, the study methods and measurement tools varied, and there was insufficient evidence for the associations between the BE characteristics and social and mental health. Future research is called for to focus on the impact of BE characteristics on mental health and social health in a compact urban context, and to use theoretically sound longitudinal designs.Interdisciplinary urban health strategies are required based on the associations between the BE characteristics, health-related outcomes, and the environmental context. Evidence for the associations between the BE characteristics and health-related outcomes in compact metropolitan cities may provide a greater understanding of the health effects and health behaviors of urban development for compact cities in other countries. A comparative analysis with international studies would contribute to further planning for rational urban development."}
+{"text": "Keywords: trauma; intimate partner violence; mental disturbance; torture; corrigendumAt a community-wide level, in the case of torture survivors, the focus should be on violence prevention by way of early identification and support for men at risk; provision of timely work, educational, and financial assistance; and programs aimed at harmonizing the re-entry of the male survivor back into the family and broader community.The references Pease & Flood, 2008 and Vichealth, 2014 were mistakenly added following the paragraph:"}
+{"text": "Chitin and chitosan are very abundant natural polymers with distinctive properties, such as bioactivity, biocompatibility and biodegradability, that have inspired a number of basic and applied studies, mostly in biotechnology, medicine, food preservation and agriculture. The interest in these polysaccharides is still quite high and lot of scientists are currently devoting their efforts to improve the knowledge in this field, gather in various scientific societies spread all over the world and organise specific conferences. The same broad interest in chitin and chitosan has been devoted to the various enzymes involved in their hydrolysis and the corresponding enzyme-producing organisms, in particular bacteria and fungi.Research on chitin, chitosan, and related enzymes has led to many basic and applied studies carried out in order to: explore the potential of these natural polymers , investigate the action and perspectives of the various enzymes and to directly apply the chitinolytic organisms. Although the field had been widely investigated, there is still room for interesting research novelties. This Special Issue aimed to provide a platform for the dissemination of the most advanced studies in this field and main topics were: the physics, chemistry, and biochemistry of chitin and chitosan; chitin, chitosan, and chitin-derivatives production; applications of chitin, chitosan, and their derivatives; and the bio-synthesis and bio-degradation of chitin and chitosan.Various scientists participated in this issue dealing with these various topics, and the Editorial Committee sought to accept only peculiar and/or particularly innovative papers, including review papers, covering the various aspects of the issue as follows:Synthesis and Characterization of Glutamic-Chitosan Hydrogel for Copper and Nickel Removal from Wastewater [. Chitosan preparations were treated with various concentrations of glutamic acid resulting in different types of glutamic-chitosan hydrogels that were tested for the removal of copper(II) and nickel(II) from wastewater. The increase of glutamic acid concentration led to a decrease of metal removal efficiency, probably due to a decrease in the pore size of the hydrogels.stewater . ChitosaInhibition of Listeria monocytogenes in Fresh Cheese Using Chitosan-Grafted Lactic Acid Packaging [. Chitosan was grafted with d,l-lactic acid in aqueous media using p-toluensulfonic acid as catalyst to obtain a non-toxic, biodegradable packaging material that was characterized using scanning electron microscopy and other techniques. The grafting in chitosan with d,l-lactic acid produced films with improved mechanical properties. This material successfully extended the shelf life of fresh cheese and inhibited the growth of Listeria monocytogenes during 14 days at 4 \u00b0C and 22% relative humidity. The results were compared to control samples and commercial low-density polyethylene packaging demonstrating that the use of non-toxic chitosan-g-LA for packaging of fresh cheese offers a valid alternative for the preservation and conservation of this product and inhibited the growth of Listeria monocytogenes.ackaging . ChitosaChitosan Nanoparticles as Carriers for the Delivery of \u03a6KAZ14 Bacteriophage for Oral Biological Control of Colibacillosis in Chickens . The useSorption of Cu(II) Ions on Chitosan-Zeolite X Composites: Impact of Gelling and Drying Conditions [. Different typologies of chitosan-zeolite Na-X composite beads were prepared by encapsulation and analysed by a series of methods in order to investigate Cu(II) sorption. The drying method used for the storage of the adsorbent severely affected both the structural properties of the composite and the copper sorption effectiveness. Textural and Cu(II) sorption data indicated that whereas a chitosan coating impaired the accessibility of the microporosity of the zeolite; presence of zeolite improved the stability of chitosan dispersion upon supercritical drying and increased the affinity of the composites for Cu(II) cations.nditions . DiffereThe Psychrotolerant Antarctic Fungus Lecanicillium muscarium CCFEE 5003: A Powerful Producer of Cold-Tolerant Chitinolytic Enzymes [Chitosan and Its Derivatives as Highly Efficient Polymer Ligands [. This review paper covers results of the last decade. Chitosan has a polyfunctional nature permitting its application as a polymer ligand not only for the recovery, separation, and concentration of metal ions, but also for the fabrication of various functional materials. Although unmodified chitosan itself is the unique cationic polysaccharide with very good complexing properties toward numerous metal ions, its sorption capacity and selectivity can be sufficiently increased and turned via chemical modification to meet requirements of the specific applications. The main information supplied by this paper was aimed to demonstrate how different strategies of chemical chitosan modification effect metal ions binding, and to underline the mechanisms involved in ions binding by chitosan derivatives. Ligands . This reAll the published manuscripts have contributed to provide an image of the current and future trends in the development of chitin, chitosan and related enzyme research. The Editorial Committee expects that this Special Issue may help to understand the great potential of this specific research field and encourage further research on this matter."}
+{"text": "Typhoid fever is a continuing public health problem in many low- and middle-income countries; however, routine vaccination as a recommended control strategy has not been implemented in the past in most countries. Greater understanding of the typhoid fever burden, the increasing threat of antimicrobial resistance, and licensure of a new generation of typhoid conjugate vaccines (TCVs) were instrumental in paving the way for the World Health Organization (WHO) to issue a revised global policy on typhoid vaccines in March 2018. The new policy follows evidence-based recommendations by the WHO Strategic Advisory Group of Experts on immunization for routine and catch-up vaccination with TCVs and highlights considerations for universal, risk-based, or phased vaccination strategies in different settings. Further, the first WHO-prequalified TCV and Gavi funding for eligible countries make vaccination a realistic control strategy for many affected countries, especially if combined with improved water and sanitation services, strengthened surveillance systems, and appropriate antimicrobial treatment. Salmonella enterica serovar Typhi, include access to safe water, adequate sanitation, personal and food hygiene, health education, appropriate antimicrobial treatment, and vaccination. While water, sanitation, and hygiene (WASH) strategies are powerful tools for typhoid control, the major financial investments required for infrastructure development and maintenance limit WASH solutions in the short to medium term in most typhoid-endemic countries [An estimated 11 to 21 million cases and more than 128 000 deaths from typhoid fever occur annually across many low- and middle-income countries, primarily in South and Southeast Asia and sub-Saharan Africa . Effectiountries , 5. WeigWHO is mandated to provide global vaccine policy recommendations based on a transparent and systematic evidence review process by the Strategic Advisory Group of Experts (SAGE) on Immunization, an independent advisory committee that advises the WHO on the development of policy related to vaccines and immunization , 7. WHO In 2008, WHO updated its policy on the parenteral unconjugated Vi polysaccharide and oral live attenuated Ty21a typhoid vaccines and emphasized their programmatic use to control endemic and epidemic typhoid fever where the disease remained a significant public health problem. Public health use of the Vi polysaccharide vaccine in 2 large demonstration projects in Asia, in 2003\u20132004 and 2010\u20132012, provided evidence of vaccine effectiveness and safety, feasibility of community- and school-based delivery strategies, and acceptability of the vaccine in the target populations , 10. HowSeveral key developments over the last decade refocused attention on the potential for routine vaccine use as a critical public health tool, especially when integrated with WASH and other strategies, for the control of typhoid fever. Crucially, data from the Typhoid Surveillance in Africa Program showed moderate to high disease incidence in some sub-Saharan Africa countries, rivalling rates previously described in parts of Asia . These gSalmonella Typhi, including spread of the H58 haplotype, which has been responsible for much of the recent and current spread of resistant strains [Salmonella Typhi H58 strain with resistance to the traditional first-line antibiotics of ampicillin, chloramphenicol, and trimethoprim-sulfamethoxazole, as well as additional resistance to fluoroquinolones and ceftriaxone, in an ongoing outbreak in Pakistan [Second, there has been a growing body of evidence about the threat of antimicrobial-resistant strains of strains and emer strains . ConcernPakistan .Third, the long-anticipated availability of a newer generation of typhoid conjugate vaccines (TCVs) moved closer to reality with licensure in India of 2 Vi-tetanus toxoid conjugate vaccine products in 2008 and 2013. An earlier Vi-rEPA conjugate vaccine had provided extensive clinical trial data that demonstrated safety, immunogenicity, and clinical efficacy of 89.0% over 46 months follow-up in Vietnamese children aged 2\u20135 years . HoweverFocus on typhoid conjugate vaccines necessitated a review of the (hitherto limited evidence on) age-specific burden in infants and children aged <2 years and the key considerations for the optimum schedule and delivery strategies for that age group. Revision of the typhoid vaccine policy followed the standard SAGE process for the development of vaccine recommendations, which incorporates review of the best available evidence on the clinical and epidemiologic characteristics of the targeted disease in different settings; vaccine characteristics and performance; and immunization, economic, health-system, legal, and ethical considerations, as well as social values and preferences regarding the target vaccine. This evidence review is combined with assessment of the quality of evidence on critical policy questions and, where needed, expert interpretation and judgment on specific programmatic questions to guide the resulting public health decision-making . As withThe new WHO policy recommendations reemphasize programmatic use of typhoid vaccines for the control of typhoid fever and specify that among the available typhoid vaccines, TCV is preferred at all ages in view of its improved immunological properties, suitability for use in younger children, and expected longer duration of protection. Recommendations for routine and catch-up vaccination as well as the specific considerations for national decisions on the preferred vaccination strategy are laid out in the WHO position paper .With the first WHO prequalification of a TCV and a de"}
+{"text": "Herbal medicines have been used in traditional medical practices for centuries. While practitioners of herbal medicines are often comfortable with the application of such medicines and are also largely convinced by the results they experience with patients, the scientific validity of herbal medicines in research and development is still often questioned. This is partly due to the lack of quality control, identification, and standardization of chemical compounds and drug formulations, as well as the challenges of applying the same methodologies across dissimilar medicinal products. The development of herbal medicine within the framework of evidence-based medicine is relatively new. Applying the methodologies of Western-based pharmaceutical sciences to herbal medicines presents the research community with a complex set of challenges. However, it is essential that herbal medicine research design and conduct be scientifically and ethically sound, while also taking into account the medical philosophies and practices that accompany the use of traditional herbal medicine.Our special issue is focused on the application of modern technologies and methodologies in herbal medicine research and development using the accepted Western scientific and ethical standards. In the last decades, there has been significant progress in advancing traditional herbal medicine research and development, particularly in Asia, where there is an abundance of medicinal plants. As this issue will illustrate, the application of modern technologies and methodologies can have a significant impact on the scientific validity, quality improvement, and standardization of herbal medicines. et al., the extraction of the bioactive ingredient glycyrrhizic acid from Glycyrrhiza glabra was successfully optimized using a mathematical modeling approach. The plant is one of the most widely used traditional medicines in China, mainly for invigorating the spleen, replenishing qi, and clearing away heat and toxic substances to treat diseases such as the weakness of the spleen and stomach, coughs, and phlegm. The authors demonstrated that the combinational method of genetic algorithm and artificial neural networks provides a reliable and accurate strategy for designing and optimizing glycyrrhizic acid extraction from Glycyrrhiza glabra.In the study of L. Yu et al. investigated the association between the proangiogenic mechanisms of Long-Zhi Decoction (LZD) medicated serum on cellular autophagy. The promotional effect of LZD on angiogenesis was examined in vitro using human umbilical vein endothelial cells (HUVECs). Proliferation, migration, and tube formation were assessed in a cell-based assay. A transmission electron microscope was used in the measurement of autophagosomes to determine the extent of autophagy. Immunofluorescence and Western blot were used to determine the autophagy-related proteins of LC3-ll and Beclin-1. The results showed that the LZD-medicated serum increased autophagosomes and the autophagic protein expressions of LC3-ll and Beclin-1. The LZD-medicated serum also promoted the proliferation, tube formation, and invasion of HUVECs. This may suggest that LZD promotes angiogenesis by increasing cellular autophagy.Q. He et al. conducted a preliminary study in a transgenic strain of mice with adenocarcinoma of the mouse prostate (TRAMP) to evaluate the efficacy of the Deep Immune\u00ae (DI) as a prevention strategy to control the progression of prostate cancer. DI is a commercial natural health product consisting of a mixture of eight medicinal herbs. It was shown to stimulate phagocytosis and expression of a panel of inflammatory mediators in cultured macrophages in vitro. In addition, it also increases the tumor-killing ability of both macrophages and TRAMP mouse splenocytes. Daily intake of this herbal product significantly prevented prostate cancer progression, suggesting the possible effectiveness of the immunostimulant herbal products in the prevention of the progression of prostate cancer.P. Liang Candida albicans. Based on the microbiological test, the concentration of 0.05% of thyme essential oil in the oleogel mixture was shown to exhibit an antifungal activity against Candida albicans.G. Kasparaviciene et al. successfully formulated oleogel with thyme essential oil, designed its optimal formulation, and investigated the influence of ingredients on texture parameters of the preparation while also testing for its antimicrobial activity. The formulation optimization of oleogel was designed by means of a response surface model using Design-Expert 6 program, accompanied by texture analysis. The characterization and quantification of components of essential oils and oleogels were performed by GC-FID. The antimicrobial activity of oleogels with essential thyme oil was determined against Gynostemma pentaphyllum (GP) extract on NAFLD. The in vivo results showed that GP extract alleviated fatty degeneration and haptic fibrosis in NAFLD mice. Through a network pharmacology approach and biomedical assay, the potential active components of GP and their intracellular targets for hepatoprotective activity were identified as acyl-CoA oxidase (ACO) and carnitine palmitoyltransferase-1 (CPT-1).Nonalcoholic fatty liver disease (NAFLD) is the most common type of liver disease in developed countries. M. Hong et al. conducted a study to explore the potential protective effects and mechanisms of action of et al. performed a systematic review and meta-analysis of the effects of Panax ginseng on obesity in animal models. Sixteen studies were included in the review. The meta-analysis indicated that oral administration of P. ginseng is effective against weight gain particularly in the obesity model induced by high-fat diet. The review showed that while P. ginseng improved serum lipid profile in animal obesity model, its processing method may affect treatment outcomes.H.-S. ParkJ. Zhong et al. performed another systematic review to evaluate the efficacy and safety of Ma-Huang-Fu-Zi-Xi-Xin decoction (MHFZXXD) in patients with allergic rhinitis (AR). The review included six randomized control trials (RCTs) in 576 patients. Despite its long use and recommendation in a clinical guideline for the alleviation of symptoms of AR, this systematic review concluded that there is insufficient evidence to support the use of MHFZXXD alone for routine treatment of AR. Several scientific issues were identified in the included RCTs, indicating that there were various types of biases in each study, including selection, performance, attrition, and reporting bias. In addition, the sample size of each trial was shown to be too small to provide conclusive results.In conclusion, significant progress is seen in the application of Western research methodologies to the evidence-based evaluation of, and further development of, traditional herbal medicines. The research presented in this special issue demonstrates advances in the technologies and scientific strategies for an evidence-based approach to herbal medicines. This offers promise for a more solid and uniformly accepted basis for the confirmation or rejection of the continued use of specific traditional herbal medicines. The employment of these research methodologies also opens new vistas for discovering new chemical compounds and formulations that may support the development of traditional herbal medicine formulations into Western pharmaceuticals. This special issue further provides evidence that modern techniques and methodologies, including mathematical modeling, are not limited in their application to any stage of herbal medicine research and development, assisting both traditional practitioners and Western scientists in addressing challenges to the scientific validity of specific herbal medicines as well as to help further develop these medicines for uses outside their traditional practices and contexts."}
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+{"text": "Interleukin-1\u03b2 in hypothalamic paraventricular nucleus mediates excitatory renal reflex the central pathways of a sympathetic excitatory reflex, which is triggered by renal afferent nerve fibers. The authors had already described this reflex in more detail before: a direct infusion of capsaicin into the renal interstitium resulting in an increase of sympathetic nerve activity to the kidneys. In their recent work addressing central nervous mechanisms, the authors focused on the paraventricular nucleus of the hypothalamus, which plays an important role in the processing of various peripheral afferent information, which in turn participate in the generation of central sympathetic outflow. With regard to their specific question, the authors convincingly demonstrated that sympathetic activation following administration of capsaicin directly into the renal interstitium is mediated via IL-1\u03b2 in the paraventricular nucleus of the hypothalamus.Fen Zheng and his co-authors investigated in their article The investigation of neurophysiological structures like the paraventricular nucleus of the hypothalamus is important because the central pathways integrating afferent and efferent renal nerve activity are not well understood. Clinical studies suggest an important role of renal sensory afferent innervation in the regulation of efferent sympathetic tone. In patients with hypertension and end-stage kidney disease, peripheral sympathetic activity remained increased after renal transplantation. Peripheral sympathetic tone decreased only in patients who had additionally undergone bilateral nephrectomies of the failing kidneys .At first glance, it may seem surprising why an interleukin-like IL-1\u03b2 should play such a prominent role in processing afferent neuronal input for the generation of central sympathetic outflow. However, one should bear in mind that the immune system and many visceral organs are autonomously innervated quite densely . The infIf capsaicin was not injected into the renal tissue but directly into the organ via the renal arteries, a long lasting sympathetic depression and no sMore extensive research will be needed to clarify these last mentioned open points. The fact that there will be no quick and easy explanations in this context is not least due to the observation that afferent nerve fibers always have both mechano- and chemosensitive properties, whereby they express a large number of different receptors, quite a few of them with significant involvement in immunological responses."}
+{"text": "Flaviviruses are enveloped single-stranded RNA viruses and major human pathogens. They are responsible for causing outbreaks and therefore they represent a serious health issue worldwide . BecauseAedes aegypti mosquitoes and recent studies have begun to examine vector-virus relationships and transmission dynamics of this virus pathogen (Ae. aegypti mosquitoes infected with ZIKV activate the RNA interference (RNAi) mechanism by upregulating several virus-produced short interfering RNAs (siRNAs), piwi-interacting RNAs and microRNAs. Many of the latter are also regulated by DENV and WNVs, but not by the alphavirus Chikungunya, indicating conservation in the mosquito response to flavivirus infection pathway limits ZIKV infection by maintaining midgut homeostasis through modulation of reactive oxygen species in the midgut as well as microbiota growth and stem cell proliferation gene, which is involved in brain development and has been previously implicated in hereditary microcephaly, in flies overexpressing ZIKV NS4A abolishes these defects. These results provide proof that ZIKV NS4A interacts physically with the ANKLE2 protein and causes microcephaly in an ANKLE2-dependent manner reduces flavivirus infection in adult flies demonstrating the power of Drosophila for the discovery of novel host molecules with anti-flavivirus activity , the use of ral host . This apSH wrote the original draft of the manuscript and IE revised and edited the paper. All authors contributed to the article and approved the submitted version.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Point-of-care ultrasound (POCUS) education during medical school develops physicians who are properly prepared for the next generation of medicine. The authors present the case of a first-year medical student who self-diagnosed appendicitis using POCUS.A 25-year-old, first-year medical student presented to the emergency department with lower abdominal pain. What seemed like a straightforward appendicitis presentation came with a twist; the student brought self-performed ultrasound imaging of his appendix.The student\u2019s ultrasound skill set reflects favorably on the rapid evolution of ultrasound teaching in medical education. Point-of-care ultrasound (POCUS), the acquisition and interpretation of ultrasound images at the bedside, is an essential skill for the next generation of physicians. The integration of POCUS into undergraduate medical education (UGME) curricula is occurring at an accelerated rate. This no doubt reflects on the recognition that POCUS promotes patient safety, clinical efficiency, and elevates the level of care physicians can offer their patients. One benefit of early medical school integration is that students develop ultrasound skills in parallel with learning human anatomy \u2013 a critical element that accelerates sonographic learning. It cannot be overstated that the development of an early sonographic skill set is meant to augment the patient interview and clinical exam, not replace them. Each is an essential competency developed and ingrained early in medical school although through different educational pathways. Today\u2019s medical students benefit from the ability to develop their sonographic skill set in parallel with learning the traditional pillars of medicine: inspection, palpation, percussion, and auscultation.POCUS has become commonplace in many medical specialties and is evolving in others. The ability to evaluate and diagnose patients with emergent conditions using ultrasound is best illustrated in emergency medicine (EM). Diagnosing acute conditions such as appendicitis are well within the capabilities of ultrasound-trained clinicians. EM-trained physicians using POCUS to evaluate for appendicitis have been shown to have comparable operating characteristics to comprehensive ultrasounds interpreted by radiologists.A 25-year-old first-year medical student arrived in the emergency department (ED) with 24 hours of lower abdominal pain. The pain was worse with cough, yard work, and eventually with walking. The clinical exam demonstrated right lower quadrant tenderness without peritoneal signs. His vital signs were normal except for mild tachycardia. Lab work, including urinalysis, was unremarkable.Although the clinical presentation in this case was typical of appendicitis, in many institutions the next step is to obtain a computed tomography (CT) to confirm the diagnosis. The use of CT to diagnose appendicitis approaches 90% in some centers.3In this case, what seemed like an otherwise straightforward appendicitis presentation came with a twist; the student brought self-performed ultrasound imaging of his appendix. Prior to his ED visit, the student went to our ultrasound teaching lab and was able to identify his inflamed appendix (without a proctor). He printed his ultrasound images and presented them to the ED attending physician. The images demonstrated an enlarged appendix (approximately 1 centimeter) with appendicolith .The emergency physician also used POCUS to reaffirm the sonographic diagnosis of appendicitis .CPC-EM CapsuleWhat do we already know about this clinical entity?Diagnosing appendicitis using ultrasound is accurate and efficient. It is an advanced skill that can challenge even experienced sonographers.What makes this presentation of disease reportable?This is the first report in the literature of a medical student extrapolating a basic ultrasound skill set to self-diagnose appendicitis.What is the major learning point?The self-diagnosis of appendicitis by a 1st-year medical student demonstrates the rapid ultrasound skill development by future physicians.How might this improve emergency medicine practice?Point-of-care ultrasound taught by emergency physicians elevates the clinical skill set of future physicians.The patient was taken to the operating room without further imaging and had an uneventful appendectomy. Appendicitis was confirmed upon pathologic review of the specimen.It is clear that basic patient evaluation skills taught early in medical school become the framework students rely on during their clinical years and beyond. It is our goal to integrate the use of sonography as a standard part of a student\u2019s history and physical exam. An integrated UGME ultrasound program helps students develop symbiotic clinical and sonographic skill sets. Students at our medical school Eastern Virginia Medical School (EVMS) have an ultrasound transducer in their hands as early as the orientation week of their first year.The framework of sonographic teaching at our institution is structured around 10 core ultrasound skills that every student should graduate with. These core skills range from echocardiography to procedural guidance .Abdominal ultrasound education at our institution is focused primarily on common hepatobiliary and renal disorders. Although we do not formally train students to specifically image the appendix, the ultrasound skill set they develop during the first few months of training makes this an achievable endeavor.POCUS is becoming the standard of care in many areas of clinical medicine. The early integration of POCUS into UGME curricula is the key to arming the next generation of physicians with the tools necessary to elevate the current standard of patient care.5Although anecdotal, this report of the self-diagnosis of acute appendicitis by a medical student is evidence of a novice learner\u2019s ability to rapidly extrapolate basic sonographic concepts into more advanced skills.The medical student\u2019s ultrasound skills reflect favorably on the rapid evolution of ultrasound teaching in undergraduate medical education. As the use of ultrasound in the clinical setting expands for both diagnostic and procedural indications, it is important for medical schools to properly prepare future physicians."}
+{"text": "We then evaluate in detail the role of soluble innate inhibitors including surfactant protein D and antimicrobial peptides that have a potential dual capacity for down-regulating viral replication and also inhibiting excessive inflammatory responses and how these innate host factors could possibly be harnessed to treat IAV infection. Where appropriate we draw comparisons and contrasts the SARS-CoV viruses and IAV in an effort to point out where the extensive knowledge existing regarding severe IAV infection could help guide research into severe COVID 19 illness or vice versa.There is abundant evidence that the innate immune response to influenza A virus (IAV) is highly complex and plays a key role in protection against IAV induced infection and illness. Unfortunately it also clear that aspects of innate immunity can lead to severe morbidity or mortality from IAV, including inflammatory lung injury, bacterial superinfection, and exacerbation of reactive airways disease. We review broadly the virus and host factors that result in adverse outcomes from IAV and show evidence that inflammatory responses can become damaging even apart from changes in viral replication There is a vast, and still growing, literature on the pathogenesis of severe IAV infection. A major concern has been adaptation of avian viral strains to human to human transmission. There is a strong system of surveillance for human infection with such avian strains that has been effective in containing outbreaks in domestic animals to lower the risk for human transmission. The last IAV pandemic (2009) was not caused by a virus bearing a novel HA but the re-emergence from a porcine source of an H1N1 strain similar to the 1918 pandemic IAV. The current catastrophic SARS-CoV2 pandemic (and related SARS-CoV1 and MERS outbreaks) emerged from different sources altogether. This does not lessen the need for avian and porcine IAV surveillance. However, it is reasonable to consider what we know about severe IAV pathogenesis for lessens applicable to other severe respiratory virus infections, like COVID 19, to seek common points that could be used to guide treatments. In both cases it appears that innate immunity plays a central role in early protection but also in the most adverse outcomes.Based on the high degree of variability of IAV strains from year to year through antigenic drift and the potential for reshuffling of whole genome segments through reassortment, adaptive immune responses generated against prior strains (or prior vaccines) can be of limited or possibly no effectiveness vs. a new strain. Coronaviruses may not have as high a propensity to variation and do not have a multi-segmented genome as does IAV. However, there are many strains of coronavirus in animal reservoirs so that novel infections with these strains are a major risk. Whereas, seasonal IAV tends to be somewhat attenuated due to adaptations made for sustained maintenance in humans and due to partial immunity against them, highly pathogenic coronavirus infections resemble more closely novel pandemic IAV strains in that humans are immunologically largely na\u00efve to them. These factors leave innate immunity with a key role in bridging the gap between initial infection and onset of cell and antibody mediated immunity for both IAV and novel coronaviruses.The overall topic of innate immunity to IAV is quite vast we will not be able to review it in great depth but rather will refer to recent reviews for more detail. We will summarize viral and host factors established to be involved in the development of severe IAV infection. We will then explore in more depth evidence for a role for myeloid cells in host defense and damaging inflammation during IAV infection. We will then summarize the work of our and other labs on the role of key soluble innate inhibitors including surfactant protein D (SP-D) and antimicrobial peptides (defensins and LL-37) in host defense and potential treatment of IAV infection. Where appropriate draw comparisons or contrasts to COVID-19, since knowledge of severe IAV pathogenesis may allow a more rapid discovery of aspects of pathogenesis of severe COVID 19 and conversely treatments being tested for COVID-19 may prove beneficial for severe IAV as well see .There is an extensive literature on the extraordinary innate immune response to IAV which plays a key role as a bridge between initial infection and onset of adaptive immunity . Of interest some soluble factors like the collectins , LL-37 and also alveolar macrophages appear to limit viral replication while also inhibiting inflammation . If viral infection does reach the lung profound illness can occur and can be associated with severe outcomes. Of note, SARS-CoV2 appears to have greater potential to achieve lung infection (perhaps due to greater binding affinity for ACE2 receptors present in the lung), whereas IAV has highest affinity for upper airway epithelia which contain alpha-2,6 linked sialic acids needed for hemagglutinin (HA) binding , and very young age. Malnutrition and co-infection with TB or malaria have also been noted as risk factors 7 and 9, interferon induced transmembrane protein (IFTIM3), complement component 1q binding protein and IL-1 among others play fundamental roles in host defense against IAV and other viruses, as evidenced by the evolution of viral proteins (like the IAV NS1 and similar proteins for SARS-CoV1) have recently been intensely studied in relation to their positive or negative roles in various infections of inflammatory states could be adverse but the net effect of SP-D or LL-37 in vivo is to reduce inflammation during IAV or other infections in vivo of SP-D with that of MBL or bovine conglutinin both of which have intrinsically stronger viral binding and inhibition capacity than human SP-Ds NCRD. These created as full length molecules and indeed had increased viral neutralizing activity for seasonal IAV strains and were able to restore the host defense function of SP-D when over-expressed in SP-D knockout mice we showed that a modified version of LL-37 had increased IAV neutralizing activity and was able to inhibit pandemic IAV (Tripathi et al., There are many similarities in manifestations of severe IAV and severe SAR-CoV infection, including profound, uncontrolled inflammatory response, massive cytokine release, diffuse alveolar damage, and lung infiltration with neutrophils . It is lIt appears likely that myeloid cells will be found to contribute to inflammatory damage in COVID-19 as they appear to do in severe IAV infection. Studies similar to those of Brandes et al. using targeted reduction of myeloid or neutrophil activity can be evaluated in animal models of COVID-19 as well (Brandes et al., in vitro (Michelow et al., Like the HA of IAV and gp140 of HIV, the coronavirus spike protein is heavily glycosylated (Vankadari and Wilce, in vitro. Other strategies like increasing endogenous production of LL-37 with Vitamin D or HDAC inhibitors can be considered as well. A challenge for treatment with SP-D or peptides will be how to achieve adequate lung concentrations to inhibit the virus and possibly down-regulate inflammatory responses.It is very likely also that antimicrobial peptides including LL-37 or defensins modified to reduce proteolysis and increase antiviral activity will have activity against SARS-CoV2. Hence, it will be important to test modified versions of these There is a vast literature on the pathogenesis of severe IAV infection and how it relates to innate immunity for better or worse. Remarkably, there is likely still a lot to learn and important new findings continue to appear regularly. The focus of this review is predominantly on the role of myeloid cells and soluble inhibitors of IAV including collectins like SP-D and antimicrobial peptides since these are the areas of our greatest expertise. Unfortunately it is very likely that IAV both in seasonal epidemic and in pandemic form will continue to be a major threat to human health and one can hope lesions learned from the COVID-19 pandemic will inform future responses to IAV infection as well. Methods of blocking inflammasome activation or neutrophil infiltration are being considered for COVID-19 and severe IAV, but as summarized above the literature suggests down-modulation rather than total blockade may be most beneficial. In general it will be important to balance the host defense role of elements of the innate response vs. both virus and potential superinfecting bacteria against their damaging effects. Timing of interventions may also be key as evidenced by the likely beneficial role of early IFN and neutrophil responses vs. their damaging effects when in excess at later times during the course of illness.KH conceived and wrote the whole article but the work also summarizes results of a wide range of collaborators and that of other laboratories.The author declares that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Mitochondrial DNA (mtDNA) molecules are packaged into compact nucleo-protein structures called mitochondrial nucleoids (mt-nucleoids). Their compaction is mediated in part by high-mobility group (HMG)-box containing proteins (mtHMG proteins), whose additional roles include the protection of mtDNA against damage, the regulation of gene expression and the segregation of mtDNA into daughter organelles. The molecular mechanisms underlying these functions have been identified through extensive biochemical, genetic, and structural studies, particularly on yeast (Abf2) and mammalian mitochondrial transcription factor A (TFAM) mtHMG proteins. The aim of this paper is to provide a comprehensive overview of the biochemical properties of mtHMG proteins, the structural basis of their interaction with DNA, their roles in various mtDNA transactions, and the evolutionary trajectories leading to their rapid diversification. We also describe how defects in the maintenance of mtDNA in cells with dysfunctional mtHMG proteins lead to different pathologies at the cellular and organismal level. According to the widely accepted endosymbiotic theory ,2, mitocSaccharomyces cerevisiae cells contain on average about 50 copies of a 75\u201386 kbp long mtDNA molecule . F. F130]. ese mice .Overexpression of TFAM increases the mtDNA copy number and alsoThe variability in mtDNA copy number among different cancers was reviewed recently by Yuan et al. and is sTFAM expression does not have the same effect on the prognosis of all types of TFAM-associated cancers. Expression of TFAM at higher levels was associated with longer overall survival time in cases of diffusely infiltrating astrocytomas . Convers\u2192A in 5\u2032-UTR exon 1 and the Ala105Thr missense mutation of TFAM were shown to be involved in the pathogenesis of cardiac hypertrophy [\u2192G) SNP upstream and rs1937 (G\u2192C) SNP in exon 1 of TFAM were associated with diffuse-type gastric cancer [Mycobacterium leprae, causing leprosy, and affect the risk of infection [In addition to pathological states caused by altered levels of wild-type TFAM, there are several examples of dysfunctional mitochondria associated with single-nucleotide substitutions within both the coding and noncoding regions of the TFAM-encoding gene . For exaertrophy and varic cancer . Geneticnfection ,307. Pronfection . Manifesnfection . Possiblnfection . In a human prostate cancer cell line and in tissue samples of ovarian cancer, TFAM was detected not only in the mitochondria, but also in nuclear chromatin, where it could regulate the expression of nuclear genes in addition to those in the mitochondria ,308. ThiIn addition to serving as a prognostic marker, TFAM might also be employed as a candidate therapeutic agent. Mitochondrial dysfunction has been reported in various forms of heart failure and TFAM overexpression showed an increased mtDNA copy number and cardioprotective effects against ROS-mediated mitochondrial oxidative stress in transgenic mice ,309. A pThe overexpression of TFAM also has a potentially synergistic effect with exercise training in enhancing mitochondrial function in order to prevent skeletal muscle atrophy . TFAM ovA TFAM-mediated \u201cProtoFection\u201d was employed to deliver mtDNA into the mitochondria of cells representing a model of Parkinson\u2019s disease and resulted in the restoration of mtDNA levels accompanied by the activation of mitochondrial biogenesis . SimilarSince some cellular pathologies are caused by an increased level of mitochondrial biogenesis, some interventions are aimed at decreasing the level of TFAM. For example, antisense oligonucleotides were used to decrease the expression of TFAM in injured rat carotid arteries and knocThe symbiosis that gave rise to modern eukaryotic organisms required fine-tuning the coordination between the genomes of the original host and the endosymbiont. This led to an apparatus for maintaining the mtDNA able to protect, replicate, and express its genetic information in response to intra- and extracellular stimuli. The principal players in the mitochondrial genome maintenance are mtHMG proteins that mediate the compaction of mtDNA molecules into mt-nucleoids. The properties and regulators of mtHMG proteins have been adapted for the unique characteristics of the mitochondrial genomes and are pivotal in these transactions. This review provides a comprehensive analysis of mtHMG proteins highlighting the following key points: (1) The mechanism of DNA compaction by mtHMG proteins is relatively conserved and is primarily mediated by the bending of DNA by tandemly arranged HMG-boxes; (2) with the exception of the HMG-boxes, the amino-acid sequences of the mtHMG proteins exhibit faster evolutionary diversification than the other mt-nucleoid protein components; (3) the activity of the mtHMG proteins is regulated at all levels of gene expression, including transcription activation/repression, alternative splicing, regulation by miRNAs, posttranslational modifications, and proteolytic cleavage; (4) in many (even strictly aerobic) microorganisms, the deletion of a gene for a mtHMG protein is in part compensated for by employing other molecular means of mtDNA compaction; and (5) compromising the functions of the mammalian mtHMG protein TFAM results in a variety of pathological states whose nature depends on the particular mutation and the affected tissue. Although research on mtHMG proteins during the last four decades has provided substantial insight into their functions and evolution, there are still important questions that need to be addressed. For example, how does the metabolic state of a cell or modifications to the mtDNA affect the DNA-mtHMG protein interactions? Which additional posttranslational modifications affect mtHMG proteins? What are the effects of these modifications on the structure and stability of mtHMG proteins? Can combining different posttranslational modifications provide the means for producing a heterogeneous intramitochondrial population of mtHMG proteins with distinct DNA- or protein-binding properties? What are the mechanisms of co-evolution of the conserved protein components of the mt-nucleoid and the rapidly evolving mtHMG proteins? How is mtDNA compacted in cells lacking mtHMG proteins? Are there other possibilities for using TFAM as a prognostic tool or a therapeutic target for pharmacological interventions in human diseases with aberrant mtDNA maintenance? Answering these and other related questions will be instrumental for understanding the molecular bases of pathologies linked to the dysfunction of mtHMG proteins and to mitochondria in general."}
+{"text": "Research into the advanced imaging appearance of Thoroughbred racehorse fetlocks is receiving increased attention in an effort to better understand and potentially reduce the occurrence of catastrophic fracture in these horses. Studies in this area commonly use cadaver equine limbs from racehorses and a freeze-thaw process prior to imaging. The low-field magnetic resonance imaging (MRI) appearance of the bones of the fetlock joint is of particular interest in the diagnosis of impending fracture in this location. However, little is known about the effect of the freeze-thaw process on the appearance of certain signal changes (\u201cSTIR hyperintensity\u201d) seen commonly in racehorses. This study compares the low-field MRI appearance of short tau inversion recovery (STIR) hyperintensity in the bones of cadaver fetlocks from Thoroughbreds in race training, before and after a freeze-thaw protocol. Fifteen cadaver fetlocks with abnormal bone signal were included in the study. Blinded and unblinded statistical comparisons were made. No overall clinical or statistical difference was detected in intensity and distribution of the STIR signal before and after freeze-thaw. This indicates that the MRI appearance of STIR hyperintensity in freeze-thawed cadaver fetlocks can be considered representative of the appearance of pathology in the recently euthanized horse. This is important information to further advance research in the area of Thoroughbred racing fatality reduction.Equine advanced imaging research involving racehorse fetlock pathology commonly uses cadaver limbs and a freeze-thaw process. The presence of short tau inversion recovery (STIR) signal intensity in the distal third metacarpal/metatarsal bone is of particular interest and may be clinically relevant in the diagnosis of horses at risk of fracture. However, little is known about the effect of the freeze-thaw process on the MRI appearance of STIR hyperintensity in these bones. This study compares the low-field MRI appearance of the distal third metacarpal/metatarsal bone from cadaver limbs of Thoroughbreds in race training before and after a freeze-thaw protocol. Blinded and unblinded comparisons were made using objective SNR values and subjective grading. Fifteen cadaver limbs with STIR hyperintensity in the distal third metacarpal/metatarsal bone were included. No overall clinical or statistical significance was detected in STIR signal intensity and distribution after freeze-thaw. Three limbs from one horse had individual changes in STIR hyperintensity that were hypothesized to be attributable to ante-mortem haemodynamic abnormalities caused by anaesthesia. These results indicate that the distribution and intensity of STIR hyperintensity in freeze-thawed cadaver fetlocks can be considered representative of the appearance of pathology in the recently euthanized horse. However, care should be taken with horse selection and handling of the cadaver limbs to ensure reliable appearance of STIR signal after freeze-thaw. Research into the advanced imaging appearance of racehorse limbs is essential to better understand the pathophysiology and aetiology of bone fatigue and stress-related injury and so reduce the incidence of catastrophic fracture and associated racing fatality. The fetlock region is an anatomical area of interest as it is the most common location of musculoskeletal injury and breakdown in racehorses. Many advanced imaging fetlock studies use cadaver distal limbs from Thoroughbred racehorses and implement a freeze-thaw process prior to imaging the cadaver limbs ,2,3. TheLow-field magnetic resonance imaging (MRI) is one of the advanced imaging modalities being investigated to aid in diagnosis of pathology in the distal limbs of racehorses. It is a relatively widely available, non-invasive modality that can be performed in sedated standing horses, especially in cases with suspected fetlock pathology. A specific MRI sequence, short tau inversion recovery (STIR), suppresses fat signal in tissue, allowing other signal such as fluid to be visualized, and is a common sequence included in a standard fetlock MRI examination. The presence of STIR signal hyperintensity in the distal third metacarpal/metatarsal bone is of particular interest and may be clinically relevant for the diagnosis of horses with stress fracture and for prevention of subsequent catastrophic bone failure .Despite the frequency of equine imaging studies using a freeze-thaw protocol, much is unknown about the effects of the freeze-thaw process on the MRI appearance of STIR hyperintensity in bone in the equine fetlock region. Whilst it has been shown that temperature and handling, among other freeze-thaw process variables, can affect the MRI appearance of equine cadaver limbs ,6,7,8, tPrevious research has found that the process of freezing and thawing can affect bone parameters and material properties. One study found a small but significant reduction 12%) in bovine tendon T2*-weighted signal intensity after the first freeze-thaw cycle but not after successive cycles . A spect% in boviThere remains a paucity of data regarding the reliability of MRI interpretation after freeze-thawing cadaveric limbs with regards to the appearance of STIR signal in bone. Although STIR hyperintensity was originally referred to as \u201cbone oedema\u201d, subsequent studies have shown this signal change can represent a number of different osseous changes including haemorrhage, oedema, fibrosis and osteonecrosis ,14. The This study aims to investigate the effect of a freeze-thaw protocol on the low-field MRI appearance of STIR hyperintensity in the distal equine metacarpus/metatarsus. We hypothesize that freezing and thawing of a cadaver equine fetlock does not change the distribution or the intensity of STIR hyperintensity in the distal aspect of the third metacarpal/metatarsal bone.Distal limbs from racing Thoroughbreds in work, euthanized in South-East Queensland, were collected. Limbs were included in the study if they (1) were available for MRI examination within 12 h of death and (2) showed evidence of STIR hyperintensity in the distal third metacarpal/metatarsal bone. Distal limbs with a catastrophic fracture in the fetlock region were excluded. Horse data pertaining to age, signalment and date euthanized was collected. This research received ethics approval from the University of Queensland Animal Ethics Committee (SVS/ANRFA/041/18) and informed consent for collection of the cadaver limbs.Limbs were secured in a weight bearing position within a low field 0.27T magnet , and a standard fetlock coil was placed at the level of the fetlock. T1W gradient recalled echo (GRE) and STIR fast spin echo (FSE) sequences of the distal metacarpus/metatarsus were acquired in transverse, frontal and sagittal planes, aligned parallel and perpendicular to the long axis of the third metacarpal/metatarsal bone . The inv2 were imported into each study. The ROIs were positioned in predetermined locations for each plane of the STIR sequences (Images were viewed by a veterinary radiologist experienced with the interpretation of low-field equine fetlock MRI examinations (AY). MRI studies were viewed in \u201cdigital imaging and communications in medicine\u201d (DICOM) format on an interactive DICOM viewer workstation (Osirix MD). Standardised regions of interest (ROIs) of 2 cmequences then copThe first part of the experiment was performed objectively by one veterinary radiologist (AY) blinded to the identity and fresh/thawed status of the limbs. Blinding was performed by another investigator (GJ) by randomizing the order of the studies and then removing all identifying details. SNR values were compared between fresh and thawed MRI images at standardised, predetermined locations in the distal third metacarpal/metatarsal bone. These predetermined locations were chosen as those likely to have STIR hyperintensity present and included the distal palmar/plantar region of the lateral and medial condyles and axial physeal region. Each MRI study was assessed in a frontal, transverse and sagittal plane with efforts made to standardize the image chosen for ROI measurement.The frontal plane image slice immediately dorsal to the corticomedullary junction of the palmar/plantar cortex of the third metacarpal/metatarsal bone was used to obtain ROI measurements at the distal palmar/plantar aspect of the lateral and medial condyles as well as the axial physis . CondylaThe transverse image located two slices distal to the level of the physeal vasculature was chosen for the transverse plane measurements . Three RThe sagittal plane measurements required three different images for ROI placement; parasagittal slices through the centre of the lateral and medial condyles of the third metacarpal/metatarsal bone as well The ROI measurements on the fresh limbs were performed three times by the same blinded veterinary radiologist (AY) across both STIR FSE and T1W GRE sequences to assess intra-observer reliability. Repeated grading of each limb was performed with an interval of at least one week between image interpretations.The second part of the experiment was designed to compare and assess the appearance of STIR signal in fresh and thawed limbs in a clinical setting. The same veterinary radiologist (AY) objectively measured SNR and subjectively graded the same limbs using STIR FSE images from co-registered fresh and thawed limbs examined side by side . Window The location of each fresh limb STIR FSE ROI was copied across to the corresponding thawed image and manually adjusted to match the location on the fresh image as closely as possible. Some images could not be matched exactly due to differences in slice location between the fresh and thawed limbs. SNR was calculated for each maximum and minimum STIR location. Minimum and maximum locations of STIR hyperintensity were used in order to ensure the study assessed many different intensities of STIR signal. The minimum and maximum STIR hyperintensity was subjectively graded as 0\u20133 for each plane in both fresh and thawed images . The overall similarity of the fresh and thawed images was subjectively assessed and graded for similarity of distribution and signal intensity of STIR hyperintensity.www.ncss.com, accessed on 15 August 2020). Input assumptions included alpha (0.05), and beta . These input parameter levels are standard for bioequivalence analyses. Summary statistics for mean SNR values and standard deviation were derived for mild, moderate and severe STIR hyperintensity and were used to produce estimates of a coefficient of variation (CoV). Running sample size estimates in PASS for different input CoV values (holding other inputs constant) produced required sample sizes ranging from four to fifteen limbs. These findings suggested that the proposed sample size of n = 15 was likely to detect a change in STIR grade and produce results that were statistically meaningful. Descriptive statistics were used to summarize SNR values for the blinded and unblinded data. An investigator (GJ) not blinded to the identity of the studies collated all the blinded data for statistical comparison between fresh and thawed measurements on the same limb. A Shapiro\u2013Wilks test for normality was performed. For normally distributed data, independent t-tests were performed to assess statistical difference between fresh and thawed data. For comparison of non-normally distributed fresh and thawed data, Mann\u2013Whitney U tests (Wilcoxon rank sum test) were conducted to assess statistical difference. Statistically significant difference was set at 95% (p < 0.05).Sample estimates were based on preliminary SNR data for mild, moderate and severe STIR hyperintensity. Sample size estimates were conducted using a custom commercial software package designed for power analysis and sample size as a measure of intra-observer reliability for the blinded fresh data . A 95% cFifteen cadaver distal limbs from five different horses met the inclusion criteria for this study. Of the fifteen limbs, nine were forelimbs and six were hindlimbs. The horses were all Thoroughbred racehorses in active training and aged 3 to 4 years old (mean 3.4 years). Three were geldings and two were fillies. Causes of mortality were sudden death while racing (3/5) or euthanasia due to catastrophic fracture (2/5). Of the horses that were euthanized, one horse had catastrophic fracture in recovery immediately following general anaesthesia for an elective arthroscopy and the other fractured while racing.The limbs were frozen for 24 to 205 days (mean 75 days). The mean internal temperature of the limbs was 19.7 \u00b0C (range 19.5\u201320.3) in the fresh limbs and 19.9 \u00b0C (range 19.8\u201320.1) in the thawed limbs. The quality of fat suppression on STIR images was subjectively graded good to excellent in all limbs, both fresh and thawed.Blinded and unblinded data were collected from MRI images of all fifteen cadaver distal third metacarpal/metatarsal bones in the sagittal, transverse and frontal planes both before and after the freeze-thaw process . There wNo statistically significant differences were found between fresh and thawed SNR values for all assessed sequences, planes and locations .The intra-observer reliability for blinded fresh SNR values was variable for different sequences, planes and locations . The oveNo statistically significant differences were found between fresh and thawed SNR values nor the subjectively applied grades for any STIR sequence plane . The maxSubjectively, twelve of the 15 limbs had good overall similarity with the distribution and relative intensities of the STIR hyperintense regions considered almost identical between the fresh and thawed studies. Two limbs of one horse were graded as good for similarity in STIR signal intensity but moderate for similarity in signal distribution between the fresh and thawed studies. In these two limbs, a mild increase in STIR hyperintensity was visible after the freeze-thaw process at the periphery of the previously identified regions of STIR hyperintensity. A third limb of this same horse was graded as moderate for similarity in STIR signal distribution and poor for similarity in STIR signal intensity due to a marked decrease in STIR hyperintensity following the freeze-thaw process.This study assessed the effects of a freeze-thaw process on the appearance of STIR hyperintensity in the distal third metacarpal/metatarsal bone of cadaver equine fetlocks. There was no statistical difference in low field MRI appearance of STIR hyperintensity between images acquired from fresh cadaver limbs compared to following a freeze-thaw process. Subjectively, similarity in distribution and intensity of STIR hyperintensity before and after the freeze-thaw process was overall high.There are a number of variables that may affect the appearance of intraosseous STIR signal intensity in cadaver limbs, including the interval between death and image acquisition, the interval between death and freezing as well as the specific conditions of the freezing and thawing process ,20,21,22The collection of blinded randomised data in this study enabled objective comparison of the SNR values between fresh and thawed images for each limb, sequence and imaging plane. There were no statistically significant differences between any of the SNR measurements. However, intra-observer reliability, although considered good for T1W images, was lower than expected for the STIR images. The lower intra-observer reliability for STIR sequences in the blinded portion of the study were attributed mostly to the slight differences encountered in slice location between the fresh and thawed studies with subsequent differences in ROI location and therefore variations from the effect on volume averaging and the appearance of the vessels.Although positioning was standardised as much as possible for the blinded measurements, mild variations in image location and placement of the ROIs also likely produced some variability in SNR results. This was particularly evident when the ROIs included physeal vasculature or condylar margins. Vascular channels are markedly STIR hyperintense and large variations in SNR values were observed as the ROI was placed slightly proximally or distally in the most axial location possible. In contrast, the axial SNR measurements of the corresponding T1W images were much more consistent. The small areas of hypointensity associated with these same vascular channels on the T1W GRE sequences were presumed to have had a lesser effect on the corresponding SNR measurements. In contrast to this, condylar SNR measurements obtained in the transverse plane were more consistent on STIR images than the corresponding T1W images. This was likely attributable to the volume averaging present in the palmar condyles, with both hypointense subchondral bone and hyperintense medullary bone included in both the lateral and medial distal palmar/plantar condylar ROI. The corresponding STIR images were more uniformly hypointense in the absence of intraosseous pathology resulting in more consistent SNR measurements from fresh to thawed images in the transverse plane.Repeatability of manual ROI drawing has previously been found to be good, however repeatability for STIR sequences was not separated from the other MRI sequences in that study . In thisUnlike the blinded comparison, the unblinded portion of the study allowed direct side-by-side objective and subjective comparison of the fresh and thawed images of each limb. This allowed us to select areas of STIR hyperintensity as we would in the clinical setting rather than have the location of each measurement predetermined as in the blinded portion of the study. The direct comparison of co-registered fresh and thawed STIR sequences enabled more consistent ROI placement both with respect to image selection and specific ROI placement. This likely minimized variations in ROI positioning and subsequently the effect of volume averaging and blood vessel inclusion.In the unblinded portion of the study, STIR hyperintensity was commonly identified in the axial physis, distal palmar/plantar aspect of the lateral and medial condyles, dorsal sagittal ridge and distal dorsal diaphysis; areas commonly associated with racing related bone injury. A maximum and minimum STIR hyperintensity were subjectively graded for each image plane so that a range of STIR hyperintensities were assessed and so that data was not solely related to areas with marked intraosseous STIR hyperintensity. There was no statistically significant difference found in the subjective grade of the fresh images compared to the thawed images regardless of the severity of STIR hyperintensity.Subjective and objective comparison of fresh and thawed limbs found no statistical difference in the appearance of STIR hyperintensity, and clinically, there was overall a high similarity between the intensity and distribution of the STIR hyperintensity of fresh and thawed limbs. However, in three of the 15 limbs, there were visible changes in STIR hyperintensity following the freeze-thaw process. Two limbs had a subjective increase in signal at the periphery of the area of STIR hyperintensity when the thawed limbs were compared to the fresh. Another limb from the same horse had a marked reduction in STIR signal intensity with an altered distribution of signal following the freeze-thaw process. Considering these three limbs were collected from the same horse, we hypothesize that the changes in STIR hyperintensity may have been attributable to horse-specific conditions. The horse had been under general anaesthesia in lateral recumbency immediately prior to fracture and subsequent euthanasia. It is possible that this affected the haemodynamics in the distal limbs and predisposed the limbs to fluid changes during the freeze-thaw process. This suggests that limbs from horses euthanized closely following or under general anaesthesia should not be included in cadaver limb MRI research.This study has some intrinsic limitations. All images were obtained from cadaver fetlocks. Although these results decrease the need to image only \u201cfresh\u201d cadaver limbs when studying the appearance of intraosseous STIR hyperintensity in the fetlock region, we cannot assume this appearance is perfectly representative of the antemortem specimen. Transient causes of intraosseous STIR hyperintensity such as oedema, haemorrhage and inflammatory infiltrate may change rapidly post-euthanasia and could have altered the appearance of STIR hyperintensity in these limbs. However, the locations and distribution of STIR hyperintensity identified in this population were consistent with those seen commonly in our clinical racehorse population.Previous freeze-thaw studies have used high-field MRI, whereas this study used a 0.27 T low-field magnet. This may have reduced our ability to detect mild changes between fresh and thawed limbs. However, standing low-field MRI is the most commonly used MRI modality for racing Thoroughbreds, and so it is clinically relevant for research with cadaver racehorse fetlocks.The images of some sequences could not be perfectly co-registered for slice and angle between fresh and thawed MRI acquisitions due to slight differences in limb and image positioning at the time of acquisition. This likely contributed to reduce the similarity between fresh and thawed SNR data and appearance of STIR hyperintensity. There was a small variability in quality of fat suppression between studies. Fat suppression was graded as good to excellent in all image series, however small differences in fat suppression between fresh and thawed limbs may also have affected the appearance of STIR hyperintensity and the SNR values.No overall clinical or statistically significant alterations in the low field MRI appearance of STIR hyperintensity were identified in the distal third metacarpal/metatarsal bone of cadaver equine fetlocks following a freeze-thaw protocol. These results indicate that the distribution and intensity of STIR hyperintensity in thawed cadaver fetlocks can be considered representative of the appearance of pathology in the recently euthanized horse. However, it is recommended that cadaver limbs from recently anaesthetized horses are not used in equine MRI research with freeze-thaw protocols. Given the ongoing interest in STIR hyperintensity in equine fetlocks and the use of cadaver limbs in research, further study is required into the effects of handling and environmental conditions on the MRI appearance following freeze-thaw. This information is important to advance further cadaver research into Thoroughbred racing fatality reduction."}
+{"text": "Gnathostoma spp., acquired through the consumption of raw or undercooked contaminated aquatic animals.The disease is endemic in Southeast Asia and Central America. Two male patients, both middle-aged, presented with single itchy erythemato-edematous plaques on the anterior thorax and left flank. Both had consumed raw fish in the Amazon region. The clinical and epidemiological examinations suggested gnathostomiasis, and treatment with albendazole caused total regression of the lesions. Health teams should be familiar with the disease to provide correct diagnosis. The control strategy should be based on health education for the population.Gnathostomiasis is a parasitic zoonosis caused by the helminth Gnathostoma spp., acquired by the consumption of raw or undercooked aquatic animals contaminated with larvae of Gnasthostoma in the third stage of development (AL3). The larvae will never become adult worms in a human host-.Gnathostomiasis is a parasitic zoonosis caused by the helminth nematode -The disease is endemic in Southeast Asia and Central and South America. Humans are occasional hosts due to the ingestion of the larvae, which cross the digestive tract and enter the subcutaneous tissue or other solid organs . Cutaneous gnathostomiasis occurs three to four weeks after larvae ingestion and a migratory skin lesion ranging from a nodule to an infiltrated ill-defined mass appears. Peripheral eosinophilia and a dense eosinophilic infiltrate of the dermis and subcutaneous are suggestive of the disease, but the definitive diagnosis is made by identifying the parasite. Treatment with albendazole or ivermectin is effective, but some patients may experience recurrence even after therapy-Regarding the cutaneous form (the most common), a migratory skin lesion ranging from a nodule to an infiltrated ill-defined mass usually appears three to four weeks after larvae ingestion. Another presentation of the disease is the pseudo-furuncular type, which happens spontaneously or a few days after therapy and can provoke a large nodular or ill-defined infiltrated area to a tiny papule or even a pustuletucunar\u00e9s or peacock bass marinated in lemon juice (ceviche) from the Telles Pires River, on a group fishery in the Amazon region approximately 15 days before the exam.Patient 1: A middle- aged male presented with ill-defined itchy single erythemato-edematous plaques on the anterior thorax with anttucunar\u00e9s ceviche from the Juruena River, in the same region, three weeks before the exam.Patient 2: A middle- aged male presented with ill-defined itchy single erythemato-edematous plaques on the left flank without The patients were not on the same fishing expedition and were examined about two months apart.Once the clinical and epidemiological diagnoses of gnathostomiasis were made, biopsies were performed and the histopathological examinations in both patients showed a diffuse eosinophilic infiltrate reaching the dermis and subcutaneous tissue and edema of the upper dermis , which itucunar\u00e9s or peacock bass (Cichla sp. - -,Both patients had consumed the meat of"}
+{"text": "A consequence of the strict visitor restrictions implemented by many Long-term Care Facilities (LTCFs), during the COVID-19 pandemic, was the exacerbation of loneliness and social isolation felt by older adult residents. While there had been a shift by some persons to utilize digital solutions to mitigate the effects of the imposed social isolation, many facilities did not have sufficient information regarding available solutions to implement institutional strategies to support social connectedness through digital solutions. To support our partners in evidence-based policy-making we conducted a scoping review to identify existing virtual technology solutions, apps, and platforms feasible to promote social connectedness among persons residing in a long-term care facility context during times of lockdown such as experienced during the COVID-19 pandemic. Initial identification of relevant literature involved a combination of keywords and subject headings searches within 5 databases . DistillerSR was used to screen, chart and summarize the data. There is growth in the availability of technologies focused on promoting health and well-being in later life for persons in long-term care facilities however a gap remains in widespread uptake. We will describe the breadth of technologies identified in this review and discuss how they vary in utility in smaller scale facilities common in rural areas. Of the technologies that can be used to mitigate the impacts of social isolation felt by long-term care residents, many \u201csolutions\u201d depend on stable highspeed internet, which remains a challenge in rural and northern areas."}
+{"text": "Although the present review is narrative in nature, systematic literature analysis has been performed, allowing a concise overview of this emerging research direction till the point of writing. While a number of excellent studies have been published, future studies will need to clearly highlight the safety and added value of MOFs compared to established materials for clinical TERM applications. The scope of the present review is clearly delimited from the general \u2018biomedical application\u2019 of MOFs that focuses mainly on drug delivery or diagnostic applications not involving aspects of tissue healing or better implant integration.The synthesis of Metal-organic Frameworks (MOFs) and their evaluation for various applications is one of the largest research areas within materials sciences and chemistry. Here, the use of MOFs in biomaterials and implants is summarized as narrative review addressing primarely the Tissue Engineering and Regenerative Medicine (TERM) community. Focus is given on MOFs as bioactive component to aid tissue engineering and to augment clinically established or future therapies in regenerative medicine. A summary of synthesis methods suitable for TERM laboratories and key properties of MOFs relevant to biomaterials is provided. The use of MOFs is categorized according to their targeted organ and whether the MOFs are used as intrinsically bioactive material or as drug delivery vehicle. Further distinction between MOFs are new synthetic materials that emerged over the past three decades . MOFs coA systematic literature analysis was performed using Clarivate Analytics Web of Science database in combination with a structured key word search. In brief, a comprehensive list of works on MOFs was generated and those interfacing with biomaterials, tissue engineering, regenerative medicine or MOFs interfacing with neuronal repair were identified. Works solely focusing on drug-delivery or cancer treatment were excluded if not reporting aspect of tissue healing, integration or improvement of the foreign body response.In addition to the drug loading capacity, the present review aims to highlight that MOFs may also have intrinsic bioactivity through delivering specific metal ions , ligandsThe concept of MOFs originates from natural minerals, which have a substantial track record in TERM applications. Calcium phosphate has intrinsic osteogenic effect and its Another naturally occurring mineral is zinc oxide (ZnO), a non-porous solid devoid of any drug loading capacity, that has long been used to treat cutaneous wounds and pathological skin conditions . In contZIF-8 is easily synthesized through simple precipitation reactions facilitated by mixing the ligand (2-methylimidazole) and zinc salt solution at room temperature . ZIF-8 cMOFs may also be synthesized mechanochemically by mixinDuring solvo-thermal synthesis, two precursor solutions of organic ligands and metal ions are mixed and heated in a micro-autoclave beyond the boiling point of the solvent . Copper is typicElectro-deposition of MOFs may be uMost reports on use of MOFs in TERM applications focus on the improvement of structural bone implants. Indeed, a small but significant fraction of clinical implants fail due to an unfavorable, non-healing wound environment that may be aggravated by bacterial infection .In vitrostudies showed significantly improved corrosion resistance of magnesium alloys upon coating with bio-MOF-1, comprising of zinc ions and adenine as well as interconnections of 4,4-biphenyldicarboxylate linkers scaffolds coated with copper loaded ZIF-8 promoted osteogenic differentiation as compared to pure PLLA scaffolds while preventing bacterial infection in the presence of Zn2+ and Cu2+ ions requiring intervention . TraditiIn vitro: Cu-BTC was established to be an efficient catalyst for the conversion of blood borne s-nitroso-cysteine to nitric oxide and cysteine poly(\u03b5\u2212caprolactone) composite was investigated as material for metal free stents, using the MOF as mechanical re-enforcement, sustained drug release vehicle and Magnetic Resonance Imaging (MRI) contrast agent . FurtherIn vivo, Cu-BTC was shown effective as cardiovascular stent surface modification through coating together with polydopamine with low cytotoxicity on PC12 neuron cells and high drug loading due to electrostatic accumulation MOF in a mixed linker approach with 5-methylisophthalic acid and 1,3-bispropane propane . This MOA very inspiring study used MIL-100 (Fe) as a drug carrier for siSOX9 and retinoic acid in combination with co-encapsulated ceria based nanozymes to reduce oxidative stress . This coin vitro and in vivo works have highlighted a clear potential of MOFs to treat neurological disorders. Very few macroscopic biomaterials have been developed along this thought and future studies should include evaluating the opportunity to improve implant-nervous tissue interfaces with these materials.These inspiring in vitro and in vivo data are impressive in terms of the strong biological response that MOFs elicit toward a positive healing outcome in various tissues and applications. However, more efforts are required to understand the basic dose dependent response of individual cell types and tissues to different MOFs. In addition, concerns about the safety of some organic linkers of MOFs need to be eliminated or alternative linkers considered save for clinical applications must be shown effective in yielding MOFs with similar properties. This is essential before MOF based biomaterials for TERM applications will commence improving healing outcomes in the treatment of human patients.The presented MS reviewed literature related to orthopedic implants and cutaneous wound care and designed the figures. JR reviewed literature related to neuronal TERM applications. XL reviewed literature related to nitric oxide producing biomaterials. JM reviewed literature related to MOF & polymer composite materials. AB and SB wrote the manuscript. SB guided the review process. All authors contributed to the article and approved the submitted version.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "AVRT is a reentry tachycardia and, when the atrial exit site of the arrhythmia circuit was mapped in this case, it appeared to have a focal centrifugal activation pattern as depicted by coherent mapping.Here, we discuss mapping of an atrioventricular reciprocating tachycardia (AVRT) using color-coding and a coherence module of the CARTO Accessory pathway\u2013 mediated tachycardia is a reentrant arrhythmia and the utility of electroanatomic mapping (EAM) using an activation map with color-coding is limited during the mapping and ablation of such a tachycardia.. The tachycardia was induced easily with an eccentric retrograde atrial activation pattern . Finally, the diagnosis of left-side lateral atrioventricular reciprocating tachycardia (AVRT) was made using various maneuvers described previously.2A 27-year-old male with a history of recurrent palpitations was evaluated in the electrophysiology clinic. He had a documented episode of narrow complex tachycardia on a cardiac monitor. The patient was offered an electrophysiology study (EPS) and underwent EPS and catheter ablation in the postabsorptive state, under general anesthesia. Surface electrocardiography (ECG) and bipolar electrograms were continuously monitored using the CardioLab\u2122 Electrophysiology Recording System , sampled at 1 kHz and bandpass-filtered at 30 to 300 Hz. A multielectrode mapping catheter and a 3.5-mm open-irrigated-tip ablation catheter were placed through sheaths into the atrial chamber of interest. Then, the 3D fast anatomical map of the cardiac structures was acquired. The catheters were advanced and placed in the right atrium, His bundle, right ventricle, and coronary sinus. During the EP study, the retrograde conduction was eccentric AVRT was induced with programmed stimulation from the proximal and distal coronary sinuses. After inducing sustained AVRT, 3D EAM was performed. A transseptal puncture under intracardiac echocardiography (ICE) guidance was performed to access the left atrium and intravenous heparin was administered to maintain an activated clotting time of between 300 and 350 seconds. Activation mapping was performed after inducing (AVRT) and during RV pacing.. This focal appearing exit site with centrifugal spread was ablated using a 3.5-mm irrigated-tip force-sense catheter in a power-controlled mode using 35 W of power, with immediate loss of retrograde conduction through an accessory pathway . The ablation was delivered for one minute initially, followed by 30 seconds of insurance burn. Ventricular pacing performed postablation revealed the loss of retrograde conduction. The procedure was performed without the use of any fluoroscopy.Coherent mapping was used and the atrial exit site was mapped during ventricular pacing and during AVRT. Upon acquisition of a coherent activation map, the earliest atrial exit site showed a point source and centrifugal activation appearing as a focal tachycardia mechanism Accurate identification of the atrial exit site of concealed accessory pathway conduction during AVRT can be difficult using conventional electrogram annotation. EAM using an activation map has been extensively used for both focal and reentrant arrhythmias. By estimating delays between adjacent sites relative to the fiducial point, activation map computation can be completed.\u00ae 3 system that improves the representation of electric-wave propagation over the chamber being mapped by means of coloring and direction vectors, focusing on the displayed path of cyclic arrhythmia propagation. This algorithm uses the local activation time values of all the points in a map and performs an iterative calculation to discern a global best-fit solution in these arrhythmias, analogous to calculating a regression line to show how scattered points indicate a global trend.3 The mechanism of the AVRT is reentry and mapping only one limb of the tachycardia circuit would yield a centrifugal pattern of activation and may help to precisely locate the target for ablation. There is also a potential for demonstrating the pathway with a slant by mapping other (ventricular) sites as well.The role of activation maps using color-coding and EAM is limited during ablation of the accessory pathway. Coherent mapping is a feature of the CARTO4 terminate complex atrial arrhythmias following atrial fibrillation ablation. Thus, coherence mapping has the potential to reduce procedural times and the risk of complications.Although the new coherent mapping supports the mapping and ablation of complex micro- and macro-reentry circuits, we present its utility in less complex arrhythmias with normal cardiac tissue. By integrating vector and velocity information with coherent mapping, such not only provides the direction of activation but also helps to identify the critical isthmus. This may be particularly helpful in minimizing the amount of ablation that is needed to successfully and safelyThe assumption was that the atrial exit wavefront from the atrial insertion site of the accessory pathway would behave as a focal source and exhibit a centrifugal spread from a point source in the case of an orthodromic reciprocating tachycardia. Coherent mapping may therefore facilitate precise localization for ablation in a zero-fluoroscopy environment. In addition, in situations where retrograde conduction over an accessory pathway is lost because of mechanical damage, pathway bump, or incomplete ablation, the coherent map has the potential to allow for the ablation of the previously acquired and color-coded earliest activation point of the atrial exit. By precisely locating the targets, coherent mapping may hold a role in the ablation of sites close to the atrioventricular node. By accurately localizing the area of interest and providing information about the directionality of the activation, this mapping approach may help to ensure safe and effective ablation.Coherent mapping can accurately identify and localize the atrial exit of orthodromic reentrant tachycardia for precision-guided ablation in a zero-fluoroscopy environment."}
+{"text": "This study highlights changing disagreement between census and death record information in the reporting of the education of the deceased and shows how these reporting differences influence a range of mortality inequality estimates.This study uses a census-linked mortality data set for Estonia for the periods 2000\u20132003 and 2012\u20132015. The information on the education of the deceased was drawn from both the censuses and death records. Range-type, Gini-type and regression-based measures were applied to measure absolute and relative mortality inequality according to the two types of data on the education of the deceased.The study found a small effect of the numerator\u2013denominator bias on unlinked mortality estimates for the period 2000\u20132003. The effect of this bias became sizeable in the period 2012\u20132015: in high education group, mortality was overestimated by 23\u201328%, whereas the middle education group showed notable underestimation of mortality. The same effect was small for the lowest education group. These biases led to substantial distortions in range-type inequality measures, whereas unlinked and linked Gini-type measures showed somewhat closer agreement.The changing distortions in the unlinked estimates reported in this study warn that this type of evidence cannot be readily used for monitoring changes in mortality inequalities. Such data covering entire populations are still missing for many developed countries. A widely used alternative in these cases is relying on cross-sectional unlinked data based on separate tabulations of deaths and population exposures by socio-economic groups. The major problem with unlinked data is the disagreement between the sources of information on death and census records.6 The socio-demographic information provided on death certificates is considered as lower quality due to a higher probability of misreporting by proxy informants.7 8 The mismatch in the sources of information establishing numerators and denominators of death rates may lead to distortions of aggregated mortality and inequality estimates. Matching studies checking the validity of socio-demographic information on death records are scarce.13 To our knowledge, the only evidence on the importance of numerator\u2013denominator bias in Eastern Europe comes from two studies on Lithuania.10 13 These studies found a substantial misreporting of education and ethnicity on death records leading to biases in group-specific mortality and failing to report the gradient of inequality correctly.Monitoring socioeconomic inequalities in mortality is a crucial component for designing appropriate policies promoting more sustainable health development.This study extends prior evidence about the numerator\u2013denominator bias in unlinked data by providing new evidence based on the data for Estonia with a special focus on the change in the size of the bias in time. In addition, the current study broadens the scope of previous analyses by performing systematic sensitivity testing of a wider range of inequality measures.This study uses an aggregated census-linked mortality dataset provided by Statistics Estonia. These data were compiled from longitudinal mortality follow-up studies based on the 2000 and 2011 censuses. All permanent residents of Estonia taking part in both censuses were followed from the census dates (31 March 2000 and 31 December 2011) until the date of death or end of the follow-up period . Of all death records, 95\u201398% were successfully linked to the preceding censuses. For the analyses, the data were organised into two periods (2000\u20132003 and 2012\u20132015). The age-specific population exposures by education used to calculate both census-linked and unlinked mortality estimates were estimated by aggregating person-years lived by individuals during the period of observation . Meanwhile, deaths were grouped according to the exact age at death.low education combining primary and lower secondary education (ISCED11 categories 0\u20132); (2) middle education combining upper secondary and post-secondary non-tertiary education (ISCED11 categories 3\u20135); (3) high education referring to tertiary education (ISCED11 categories 6\u20138). For a better match with death records, ISCED11 category 5 was combined with middle education. The per cent of missing education was very low for both the census and death record information (0\u20130.8%) with the exception of unlinked deaths for the period 2012\u20132015 . For this period, deaths and person-years of exposure with unknown education were redistributed using a conservative approach assuming a proportional distribution across the three educational categories 11 categories: (1) tegories . In all 10.1136/jech-2020-214487.supp1Supplementary data14 15 Regression-based inequality measures and Relative Index of Inequality (RII)) were calculated using common algorithm described by Anand et al.14 The public health impact of inequality was estimated using population-attributable fractions (PAFs).14Education-specific mortality for males and females was measured by age-standardised death rates (SDRs) using the WHO European Population (1976) as a standard. Relative mortality differences were assessed using age-adjusted Poisson regression mortality rate ratios (MRRs). More advanced numerically calculated inequality measures (average intergroup difference (AID) and Gini coefficient)) were applied to account for the total amount of inequality across all educational groups and group-specific weights in the population .14 15 ReThe observed biases in education-specific unlinked mortality estimates predetermined substantial distortions in the corresponding range-type measures of mortality inequality . For botWe found that using numerically calculated inequality measures (AID and Gini) accounting for mortality rates and population weights for each educational group may lead to a somewhat closer agreement between the linked and unlinked inequality measures. The biggest difference was detected comparing AID and Gini coefficients for females aged 30\u201364\u00a0years. In this case, underestimation of total mortality variation by education using unlinked data was about 20%. The corresponding disagreement was much lower for males in the same age group and both sexes at ages 30+ and 65+. Interestingly, similar regression-based inequality measures (SII and RII) show more pronounced discrepancies. Our final comparison examining PAFs warns that population-based mortality burden due to educational inequalities estimated according to unlinked data was vastly undercounted in the second period.The study found that the growing effect of misreporting of education on death records in Estonia had a substantial impact on the decreasing quality of education-specific mortality estimates based on unlinked data. This bias was also responsible for distortions in the magnitude and even direction of change in mortality inequalities. This finding is a warning sign against using unlinked estimates for monitoring changes in mortality inequality. A slightly better agreement was achieved using more advanced numerically calculated Gini-type measures of inequality . The advantage of the AID and Gini coefficient is probably related to a very good agreement between the unlinked and linked SDRs for the lowest educational group showing larger population weights.10 As in other countries, census questions in Estonia were more detailed and better suited to classify own education within different educational systems functioning during various historical periods. This design contrasts to less detailed questions available on death records. Differently from death records, the census records also specify the entry-level for each educational level. Studies suggest that reported information on death records may depend on the socio-demographic characteristics of proxy informants and the deceased.5 10 For example, the Lithuanian study shows that misreporting of education increases with age and is more frequent among those dying from alcohol-related or external causes of death and non-married individuals and Russian, Polish and other ethnic groups.10 Although self-reported education in the census is also prone to reporting errors, using the same source of information for both the deceased and population exposures allows to avoid the well-known numerator\u2013denominator bias.6The observed distortions in education-specific mortality estimates derived from the unlinked data using death record-based information about education can be attributed to a variety of changeable factors. First, notable discrepancies may occur due to differences in the design and wording of questions on education in both the census and death records.One of the main reasons for the changing bias in the unlinked mortality data for Estonia can be related to the spread of post-secondary non-higher education. It is possible that a substantial share of third-party informants assumed this category being a part of the tertiary (high) education. This misclassification would explain a notable overestimation of mortality in the high education group, as reflected by the unlinked data. Finally, the rise in the proportion of the unknown category from almost 0% to 13\u201314% in the period 2012\u20132015 suggests the decreasing quality of filling this information on death records. Applying a simple proportional redistribution of unlinked deaths across the three educational groups is a limitation of the study. However, sensitivity analyses have shown that applying such an assumption leads to more plausible results if compared to the alternative solution based on assigning all deaths with unknown education to the lowest educational category. We were not able to test more sophisticated multiple imputation methods requiring access to the individual-level data. Finally, this study used education to rank socio-economic groups and did not provide any insights into the causal impact of education on mortality.10 Therefore, the finding suggesting that more advanced Gini-type measures are less prone to the numerator\u2013denominator bias may reflect the Estonian specifics and do not apply to other countries. Scientific and policy efforts should be reinforced by informing policy-makers about the risks of using unlinked data and highlight the need for more reliable evidence based on the registry- or census-linked data.The results of this study have important implications for interpreting past and emerging evidence on mortality differentials based on unlinked data. Our findings warn that small numerator\u2013denominator bias observed at some point in time cannot guaranty the sustainability of such a pattern in the future. The misreporting of education seems to be country-specific, indicating that the numerator\u2013denominator bias can take different forms in various contexts. This conclusion is supported by completely different evidence from Lithuania for the period 2001\u20132004, revealing a very important effect of the numerator\u2013denominator bias on education-specific mortality estimates based on unlinked data.The numerator\u2013denominator bias leads to notable distortions in education-specific mortality.The misreporting patterns and magnitude of the bias in the unlinked data vary across countries.Matching studies checking the validity of socio-demographic information on death records are scarce.The numerator\u2013denominator bias in the unlinked mortality data may change in time, suggesting that such evidence cannot be readily used for monitoring mortality inequalities.Conventional range-type measures of inequality are particularly sensitive to the bias.High and middle education groups in Estonia were particularly affected by misreporting on death records."}
+{"text": "Until about 30 years ago, lipids were thought to only play a structural role in cell membranes. Over time they have acquired a new face and today represent a new frontier research aimed at studying them as biologically active molecules essential for cell fate, especially in the central nervous system (CNS).This special issue includes nine papers, five reviews, and four research articles, covering some of the more recent and exciting findings about the role in the brain physiopathology.Corraliza-Gomez et al. \u201cLipid-Binding Proteins in Brain Health and Disease\u201d that summarizes a systematic literature search to identify lipid interacting proteins and the biological processes in which they are involved related to nervous system function and dysfunction. Lipid-binding scaffolding proteins, membrane transporters and receptors, and transcription regulators contribute to blood brain barrier crossing and maintenance, control of oxidative stress and inflammation, organelle function, vesicle trafficking, myelin management, and amyloid dynamics. When altered, they may become therapeutic options.The first paper of the special issue is a review written by Torres et al. \u201cMitochondrial Cholesterol in Alzheimer's Disease and Niemann\u2013Pick Type C Disease\u201d illustrates the case of the aberrant accumulation of cholesterol in mitochondria as a common pathological event in Alzheimer disease (AD) and Niemann Pick type C. Mitochondrial cholesterol accumulation alters membrane physical properties and impairs the transport of glutathione into this organelle disrupting the antioxidant defense. The potential role of the up- regulation of a family of lipid transporting proteins containing StAR-related lipid transfer domains (StARD), by different mechanisms in the two diseases, is discussed.The minireview by Isacson et al. \u201cNovel Results and Concepts Emerging From Lipid Cell Biology Relevant to Degenerative Brain Aging and Disease\u201d describes biochemical and clinical evidence of an interdependence of lipids and proteinpathy in neurodegenerative diseases (NDD). The authors illustrate that Parkinson's disease (PD) can be triggered by lipid disturbances caused by lysosomal genetic or similar age-induced enzymatic loss of function. The lipid-carrying apolipoprotein E4 variant is associated with increased risk for dementias and \u03b1-synuclein may even have a cooperative role with apolipoproteins and lipid transport.The minireview of Azizkhanian et al. in \u201cPlasma Lipid Profiling Identifies Biomarkers of Cerebral Microvascular Disease\u201d investigate the biomarker value of plasma sphingolipids as a non-invasive marker of chronic subclinical cerebral small vessel disease. To this end they quantify the association of plasma sphingolipid (SphLs) levels with white matter hyperintensity volumes on brain magnetic resonance imaging, the current imaging gold-standard for cerebral small vessel disease. They find that levels of certain plasma SphLs are highly associated with white matter hyperintensities.Given the biological links between sphingolipids and brain injury, Wai Kin Wong et al., in \u201cComparison of Single Phase and Biphasic Extraction Protocols for Lipidomic Studies Using Human Plasma\u201d compare the efficacy of different lipid extraction protocols for lipidomic studies. Using human plasma from normolipidomic adult volunteers they show that the recently developed single phase Alshehry method, which also has the advantage of avoiding the use of chloroform, is more effective than established biphasic methods particularly in the extraction of polar lipids.As the relevance of lipid alterations is confirmed for the pathology of numerous brain diseases the use of lipid levels as diagnostic tool gains interest. Kalinichenko et al. in \u201cEnhanced Alcohol Preference and Anxiolytic Alcohol Effects in Niemann-Pick Disease Model in Mice\u201d use acid sphingomyelin-knockout mice to show that forced alcohol consumption decreases anxiety while increasing depression in these models.The following paper spans the association between lipid dysmetabolism with complex psychiatric symptomatology. Taking an innovative approach to the study of acid sphingomyelinase pathways in comorbid psychiatric symptoms of depression-alcoholism, Martin-Segura et al. in \u201cAging Increases Hippocampal DUSP2 by a Membrane Cholesterol Loss-Mediated RTK/p38MAPK Activation Mechanism\u201d study a mechanism that would link age-associated cholesterol changes to the chronic sterile inflammation when homeostatic control of kinases is lost. The authors provide compelling findings on the involvement of p38MAPK activity and its downstream targets in the hippocampus of old mice. The work presented builds on this to show that age-dependent loss of membrane cholesterol takes part in a negative-feedback loop that keeps p38MAPK activity levels within physiological range.Yang et al. provide information on the role of Yin-Yang mechanism in the release of arachidonic acid and docosahexaenoic acid due to different phospholipases A2 and in the regulation on their lipid peroxidation. The products of lipid peroxidation may be detected in body organs and fluids and may confer cytotoxic or protective effects depending on the conditions for production. The review reports in detail the involvement of these lipids in neurological and inflammatory pain, cerebral ischemia and brain injury, several neurodegenerative and neuropsychiatric disorders.The next review \u201cYin-Yang Mechanisms Regulating Lipid Peroxidation of Docosahexaenoic Acid and Arachidonic Acid in the Central Nervous System\u201d by Alessenko and Albi provides evidence of participation of SphLs in the pathogenesis of AD, Parkinson's disease (PD) and, Amyotrophic Lateral Sclerosis (ALS). Recent studies have shown that SphLs play a decisive role in the neuronal function due to regulation of cell growth, differentiation, and death in the CNS. The review discusses results obtained in vitro and in vivo, such as brain tissue from both animals in which diseases were induced and humans in autopsy samples, liquor, and blood. It was highlighted that SphL species might be diagnostic markers and/or new targets for innovative therapeutic strategies.The review \u201cExploring Sphingolipid Implications in Neurodegeneration\u201d by Thus, the special issue gives an overview about the current knowledge and highlight interesting new insights into the roles of the complex world of lipids in the brain and on its involvement in NDD.All authors listed have made a substantial, direct and intellectual contribution to the work, and approved it for publication.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "The purpose of this study was to determine if Puerto Rican bats had previous exposure to rabies virus based on viral neutralizing antibodies. Our results demonstrate that 6.5% of the bats in this study had some exposure to rabies virus. The route of exposure is unknown but may have occurred following interaction with a rabid terrestrial animal or an unidentified bat rabies virus. Puerto Rico is home to 13 diverse species of bats, none of which is currently considered rabies vector species, but their capacity to become a vector is unknown . AdditioBrachyphylla cavernarum). Two hundred eighteen healthy Antillean fruit-eating bats, a common non-migratory species of bat found throughout Puerto Rico and the Lesser Antilles, were captured from Cueva Bonita Cave in north-central Puerto Rico from 2012 to 2014 in Antillean fruit-eating bats of rabid animal to which bats may be exposed. This results in a conundrum for public health practices; should humans and domestic animals with direct contact with a bat be evaluated for post-exposure rabies treatment? Additional research to determine the route by which bats are exposed to rabies and the prevalence of rVNA in other bat colonies in Puerto Rico would be valuable in shaping public health policy.Click here for additional data file."}
+{"text": "The huge amount of information and data available in histopathology images, and ease of their digitization has rapidly advanced the field of computational pathology. The effectiveness of computational pathology, coupled with impressive recent advances in the fields of deep learning and computer vision, provide an ideal setting to revolutionize established clinical workflows.The goal of this Research Topic is to publish the latest research advances and bring together scientific researchers, medical experts, and industry partners working in the field of computational pathology for clinical outcome analysis.Whole Slide Imaging and Its Applications to Histopathological Studies of Liver Disorders,\u201d by Melo et al. This article presents the review of current knowledge on the application of WSI to histopathological analyses of liver disorders as well as to understand liver biology. This article also addresses how WSI may improve the assessment and quantification of multiple histological parameters in the liver, and help diagnose several hepatic conditions with important clinical implications.Emerging technologies such as whole slide imaging (WSI), have increasingly been used to improve the assessment of histological features with several advantages such as easy image accessibility and storage, portability, sharing, annotation, qualitative and quantitative image analysis, and use for diagnostic purposes, including routine diagnosis of liver specimens. The first highlight of this Research Topic is an article entitled \u201cDeep Learning for Whole Slide Image Analysis: An Overview,\u201d by Dimitriou et al. Building deep learning models capable of understanding WSIs presents novel challenges to the field. This article presents a review work on the interdisciplinary attempt of training deep neural networks using whole slide images, and highlights the different ideas underlying these methodologies.The technical limitations of the WSI have further been investigated in the article \u201cOpen Practices and Resources for Collaborative Digital Pathology,\u201d by Mar\u00e9e. This article describes open practices and open resources in the field of digital pathology with specific focus on approaches that ease collaboration in research and education settings. This review includes open access journals and open peer review, open-source software , and open access collections.Another highlight of this edition is an article entitled \u201cStrategies to Reduce the Expert Supervision Required for Deep Learning-Based Segmentation of Histopathological Images,\u201d by Van Eycke et al.. The article presents a study to review strategies that could help provide the very large number of annotated images needed to automate the segmentation of histological images using deep learning. This review identifies and describes four different approaches: the use of immunohistochemical markers as labels, realistic data augmentation, Generative Adversarial Networks (GAN), and transfer learning.Deep learning algorithms have demonstrated their effectiveness for the segmentation of numerous histological objects . However, obtaining annotations for these algorithms is a tedious and potentially biased task. A further highlight of this Research Topic is an article entitled \u201cClinical Application of a Real-Time Telepathology System for Frozen Section Diagnosis in Comparison With Optical Microscope,\u201d by Huang et al.. This article compares the effectiveness of NED to that of optical microscope (OM) in the process of intra-operatory histological diagnosis.The imbalance between the increasing demand of highly specialized service and the reduction of specialists able to release this service is a global challenge for pathology. The use of e-pathology devices, such as remote-control microscopes, offers a possible solution to this imbalance. Nano-Eye Device (NED) is a classical microscope integrated by a computer system warranting all the numerous possibilities of an electronic device, including the live control by a distant position. Due to this last characteristic it represents a possible solution for the management of intra-operatory diagnosis in hospitals performing surgical procedures but lacking on-site pathology service. Another highlight of this Research Topic, an article entitled \u201cA High-Performance System for Robust Stain Normalization of Whole-Slide Images in Histopathology,\u201d by Anghel et al.. This article addresses two aspects related to the stain normalization pre-processing that is part of modern ML-based pipelines in histopathology. (1) Stain normalization, which can significantly impact the latency of such pipelines especially when dealing with large-size and high-resolution whole-slide images; (2) Poor-quality images can decrease the decision accuracy of the ML pipelines. This article demonstrates that the stain normalization output can be seriously affected when the input image contains artifacts.Stain normalization is an important processing task for computer-aided diagnosis (CAD) systems in modern digital pathology. A further highlight of this Research Topic is an article entitled \u201cMulti-Organ Gland Segmentation Using Deep Learning,\u201d by Binder et al.. This article investigates the idea of cross-domain (organ type) gland segmentation strategy that aims at reducing the need for organ-specific annotations. The ability of neural networks based on convolutional layers to isolate and locate this tissue would greatly benefit any specialist aiming to measure gland morphologies within the cancer grading workflow.Analysis of glandular morphology in H&E stained histopathology slides is among the primary factors in cancer staging and thereby selecting the treatment procedure. So far, deep learning techniques have produced promising results on a few organ-specific gland segmentation tasks, however, the demand for organ-specific gland annotations hinder the extensibility of these techniques to other organs. The last highlight of this edition is an article entitled \u201cAll the papers published in this Research Topic underwent peer-review process involving a minimum of two reviewers. We thank the authors for agreeing to publish their papers in this Research Topic, and the reviewers involved in the publishing process of these papers.All authors listed have made a substantial, direct and intellectual contribution to the work, and approved it for publication.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Borderline Personality Disorder (BPD) significantly impairs functioning. Fortunately, effective treatments are available for borderline symptoms but their effect on functioning should be assessed. The objective of this meta-analysis is to assess the effect of specifically-designed versus non-specifically designed psychotherapies on function in adult patients with BPD. The reference list of Cristea et al. 2017 was used to identify the randomized controlled trials (RCTs) assessing the BPD-specifically-designed psychotherapy versus non-specific psychotherapies in adult BPD patients. Among those, RCTs assessing post-treatment functioning using the Global Assessment of Functioning, Social Adjustment Scale\u2013Self-Report and Inventory of Interpersonal Problems were included. Ten trials (880 participants) were included. Summary effect size was calculated using the measured Hedge\u2019s g. The results indicate the BPD patients in the intervention group had a significantly higher level of psychosocial functioning after receiving the specifically-designed psychotherapies in comparison with BPD patients in control groups after receiving non-specific psychotherapies. Specifically-designed psychotherapies can improve psychosocial functioning although improvement in measurement of function and improvement in psychotherapies will be helpful. Borderline Personality Disorder (BPD) significantly impairs psychosocial functioning and this is regardless of individuals\u2019 gender or settiBPD is common and almost 6 people out of 100 will have BPD in the course of their lives . The proEffective treatments exist to improve BPD related problems and symptoms but the The list of included studies in the Cristea et al. (2017) meta-anaCristea et al. (2017) used borderline personality keywords to search for randomized control trials in PubMed, PsycINFO, EMBASE, and the Cochrane Central Register (from the date of creation of the database to November 2015). They included RCTs which compared specifically-designed psychotherapies for BPD versus non-specifically-designed psychotherapies in adult populations. This inclusion was regardless of participants\u2019 status of using medication.Cristea et al. 2017) assessed assesseTypically, publication bias is assessed using funnel plot techniques, Begg\u2019s rank test and Egger\u2019s regression test (see page 5 for a discussion of publication bias in the current study).The study articles were used to extract post-treatment outcome data. These data include the number of treated participants, the mean score results of psychosocial measurement tools, and Standard Deviation (SD) or Standard Error of the Mean (SEM). Comprehensive Meta-Analysis Software (CMA) was used to calculate the effect size and Hedge\u2019s g. In order to calculate the effect size, we used the random-effect model. The same software, CMA, was also used to create forest plots as well as calculate heterogeneity.The full text articles of 33 RCTs which were previously included in Cristea et al. (2017) were exaIn the ten included RCTs, 880 intention-to-treat participants were recruited from adult individuals who were diagnosed with Borderline Personality Disorder (BPD) Structured Clinical Interview for DSM (SCID) except for Farrell et al. (2009) who used Diagnostic Interview for Borderline Personality Disorders-Revised (DIBP-R) and Borderline Syndrome Index (BSI). Recruitment took place mostly in outpatient and inpatient psychiatric units as well as community mental health care settings.Treatments in intervention groups are demonstrated in The outcome measurement tools used are Global Assessment of Functioning (GAF), Social Adjustment Scale-Self-Report (SAS-SR), and Inventory of Interpersonal Problems (IIP) shown in The results indicate the BPD patients in the intervention group had a higher level of psychosocial functioning after receiving the specifically-designed psychotherapies in comparison with BPD patients in control groups who received non-specifically-designed psychotherapies. Hedge\u2019s g for the individual studies is presented in In calculation of heterogeneity, there is much uncertainty when a small number of studies are included in a meta-analysis, like ours. Although there is no specific number of studies as the cutoff point in this regard, it seems that I-squared is less affected by the small number of studies included although it should be considered that I-squared is rather a more descriptive statistic than point estimate . In our In our study, funnel plot or more advanced regression-based assessments were not calculated to examine the publication bias and the reason is that the number of trials included in our study was limited which could cause unreliable results.The results of this meta-analysis show psychotherapies specifically designed for BPD can improve psychosocial functioning. The results indicate the BPD patients in the intervention group had a significantly higher level of psychosocial functioning after receiving the specifically-designed psychotherapies in comparison with BPD patients in control groups after receiving non-specific psychotherapies. Specifically-designed psychotherapies can improve psychosocial functioning although improvement in measurement of function and improvement in psychotherapies will be helpful in future intervention studies. The importance of this improvement will be even more apparent when considering that long term follow up studies indicated poor functioning continues while syIt is important to point out a few limitations of the research: (I) considerable variability is seen in the results of the functioning assessments; (II) many different measurement tools are used to assess functioning and more universally accepted tools are needed; for example GAF was the most commonly used measure along with the Inventory of Interpersonal Problems ; however, the GAF combines both symptoms and function and has been criticised as measure of function ; (III) mThe meta-analysis result shows a higher level of functioning in the treatment group. This can challenge the impression that BPD psychotherapies may not impact patients\u2019 functioning.Although the results show the specific therapies lead to improvement in functioning, the following points about tools and interventions should be considered. Firstly, considerable variability is seen when the results of the three different functioning assessment tools are compared. This indicates the potential need for an agreed upon measurement tool. A more universal tool will make it easier to compare different studies and also will create a more common language among clinicians and researchers. Developing such a consensus will make it more practical to consider psychosocial functioning in clinical assessments, treatment and research. Secondly, the current measurement tools are self-reported which can be a source of bias indicating the need for more objective and multiple methods of assessment.Lastly, interventions are mostly focused on BPD symptoms. Until further empirical evidence is established, the study may suggest approaches to clinical care for patients with BPD. Clinicians are well advised to have their patients focus on life outside of treatment and particularly to develop goals that foster productive vocational activities. When medications are prescribed, clinicians should look for evidence that the psychopharmacological intervention has an impact on measurable functional improvement. Interventions should focus more on work function and function in spousal and interpersonal relations to improve global functioning in BPD patients, as well as the barriers to improving functioning. Additionally, the interplay between such barriers and BPD symptoms also merits further research.To that end, Level of Personality Functioning Scale (LPFS) is a promising psychosocial functioning measurement method which evaluates the global level of impairment in personality functioning. Several measures of function have been developed and validated based on the alternative DSM-5 model for personality disorders that hopefully will be useful in clinical trials .Stepped care is a useful and known method of treatment in mental health disorders which is particularly useful for BPD. Adding steps in BPD treatments to specifically focus on spousal and interpersonal relations and work functioning could help to enhance the beneficial impacts of BPD treatments."}
+{"text": "With the seminal discovery of somatic cell reprogramming with defined genetic factors, it is now a routine laboratory procedure to reprogram somatic cells to generate patient-specific induced pluripotent stem cells (iPSCs) [1] Patient-specific iPSCs can be differentiated to generate mature neurons as well as three-dimensional brain organoids that show appropriate functional activity in electrophysiological studies . However, there is a significant gap in the thoughtful incorporation of patient-derived neuronal cells in clinical studies addressing disease risk. With the seminal discovery of somatic cell reprogramming with defined genetic factors, it is now a routine laboratory procedure to reprogram somatic cells to generate patient-specific induced pluripotent stem cells (iPSCs) Patient-Recently, we have seen the implementation of well-designed clinical studies aimed at delineating biological and psychosocial risk factors for psychiatric disorders. One such example is the Identifying Depression in Adolescence, a multisite global study spanning four continents that has developed an empirically derived stratification tool for the identification of adolescents at high and low risk for developing depression . These sThe ability to generate specific neuronal and glial cell types as well as three-dimensional brain organoids with disease-specific genetic backgrounds provides new opportunities for targeted biological studies . For insHuman neuronal cells with disease-specific genetic backgrounds provide novel ways to explore disease biology . We can in vitro experiments to identify mechanisms underlying differential response to treatment. Identification of cellular features that correlate with treatment response not only provides face validity to the mechanistic basis for the disease biology, but it will also aid in the development of predictive and precision medicine methods. With the identification of a robust and reliable treatment-response signature, one can evaluate effects of potential medications in neurons from individual patients before making an educated decision to pick the medication that shows the most robust response in the in vitro assays for that particular patient.There are subgroups of patients in the disease categories that respond to specific treatments while others do not. The differential treatment response is hypothesized to be due to different underlying biology in these subgroups . It woulWe are at an opportune juncture for the application of cutting-edge stem cell approaches to study psychiatric disease biology. In order to successfully bring these new technologies to the service of psychiatric research, we need a more engaged collaboration between clinical researchers and basic scientists. It will also require funding agencies and academic journals to view this rich area of potential research with new lenses and involve translational researchers who understand the new technologies and at the same time can appreciate the intricacies involved in their application to the complex issues involved in clinical psychiatry research."}
+{"text": "The COVID-19 pandemic has had a significant impact on the operation of donor human milk banks in various countries such as China, Italy and India. It is understandable that this impact on operations of donor human milk might hamper the capability of these milk banks to provide sufficient pasteurized donor milk to neonates who need it. Contrary to developed world, predominant donors in developing nations are mothers of hospitalised neonates who have a relatively long period of hospital stay. This longer maternal hospital stay enhances the feasibility of milk donation by providing mothers with access to breast pumps to express their milk. Any excess milk a mother expresses which is above the needs of their own infant can be voluntarily donated. This physical proximity of milk banks to donors may help continuation of human milk donation in developing nations during the pandemic. Nevertheless, protocols need to be implemented to i) ensure the microbiological quality of the milk collected and ii) consider steps to mitigate potential consequences related to the possibility of the donor being an asymptomatic carrier of COVID-19. We present the procedural modifications implemented at the Comprehensive Lactation Management Centre at\u00a0Lady Hardinge Medical College in India to promote breastfeeding and human milk donation during the pandemic which comply with International and National guidelines. This commentary provides a perspective from a milk bank in India which might differ from the perspective of the international donor human milk banking societies. The novelty of the causative agent for COVID-19, the SARS-CoV-2 virus means that various aspects of the disease including its epidemiology, pathophysiology, clinical manifestations and management remain largely unknown. Clinical manifestations reported in COVID-19 patients include the full spectrum from asymptomatic carriers, to mild pneumonia-like symptoms, to severe respiratory distress or having a fatal outcome [Pregnant women are immune suppressed and were reported to be more susceptible to respiratory infections including SARS-CoV and MERS-CoV , 3. AdveBenefits of breastfeeding and human milk feeding for neonates have been well documented. The World Health Organization recommends observing necessary precautions for IPC and continuing breastfeeding when a mother has, or is suspected of, COVID-19 infection . Table\u00a01Davanzo , Chen 66 and FavThe WHO scientific brief based on a systematic review including data prior to 15 May 2020, comprising of 46 mother baby dyads acknowledged lack of sufficient data but a low risk of SARS-CoV-2 transmission through breast milk culminating in the recommendation to initiate and continue direct breastfeeding for infants born to COVID-19 suspect/confirmed mothers , KritsmeBreast milk possesses numerous bioactive components including immunoglobulins, lactoferrin, lysozymes, oligosaccharides and microRNA. The presence of protective antibodies against SARS-CoV and specifically against receptor-binding domain of spike protein of SARS-CoV-2 has been reported in various studies \u201334 althoCOVID-19 suspicion or positivity in a mother, her isolation to a COVID ward and surrounding uncertainties during parturition have unfortunately resulted in mothers being separated from their infants. Under such circumstances, direct breastfeeding and expressing breast milk may not be possible, donor human milk has been considered as the best alternative. An initial guideline also suggests the consideration of donor human milk . HoweverJournal of Human Lactation, Marinelli explores the challenges faced by the international donor human milk banking community [In the recent commentary regarding an international perspective on donor human milk banking during COVID-19 pandemic in the ommunity . It highMoro et al. from Italy shares the negative impact of COVID-19 on donor human milk bank systems . In a neIn India, human milk banks are established as Lactation Management Centres (LMC) at three levels such as, Lactation Support Units (LSU) at delivery points, Lactation Management Units (LMU) at district levels with functional Special Newborn Care Units (SNCU) and Comprehensive Lactation Management Centres (CLMC) at a tertiary level Fig.\u00a0. India nThe donation of milk is a non-incentivised process and remains a completely voluntary activity. The guidelines condemn the usage of donated human milk for commercial purposes. The protocol for screening of donors is stringent and concurs with the donation policies of other human milk banking associations . The proThe predominant way of expressing milk for an infant who cannot breastfeed directly in LMIC is hand expression. In accordance with the interim guidelines for breastfeeding during COVID-19, maintaining proper hand hygiene is strictly enforced . The expAt our centre, a CLMC, the milk expressed using breast pumps under lactation counsellor\u2019s supervision is usually sent back to the NICU to feed mother\u2019s own milk to her own baby. The electric breast pumps are currently stationed in CLMC due to space and cost constraints. The mother comes to CLMC to express her milk through pumping. A mother\u2019s milk is donated only if it is in excess of her own infant\u2019s need and the mother is willing to donate. This presents a unique opportunity for human milk banks to play a quintessential role in ensuring the adherence to recommendations of hand hygiene and measures under IPC while expressing the milk. This also relieves the NICU staff of additional burden of expression and taking care of pumps and safeguards that the benefits of mother\u2019s own milk are passed onto the neonate.Before entering, a mother is verbally screened for symptoms of flu-like illness by a health care professional. If the mother is symptomatic, she is referred to the COVID-19 screening facility at the hospital and is only allowed to express if reported negative for COVID-19.Adherence of mothers and milk bank staff to social distancing during expression of milk and while practicing hand hygiene.A limited number of mothers and health care professionals are allowed in the expression room.Milk Bank staff who can work from home have been relieved and only called on duty, if necessary. Our centre is fully functional at its maximum capacity with the minimum number of necessary staff.Face masks are worn by health care professionals and mothers at all times.Lactation counsellors are provided with personal protective equipment (PPE) for assisting a Covid-19 suspect or positive mother during pumping to avoid unnecessary contact with surface. Autoclaved closed containers are supplied to the milk bank from the NICU and mothers carry their expressed milk in those closed containers to the NICU.The general hygienic practices implemented at LMUs and CLMCs ensure cleanliness and prevent cross contamination. In addition, during this pandemic a few experts emphasised practices for mothers to follow at our centre including:Reportedly, amidst the ongoing COVID-19 pandemic, the international donor human milk banking community is impacted by COVID-19preventative measures \u201344. The In India and many other LMICs, predominant donors to human milk banks at tertiary care hospitals are mothers who have given birth to infants requiring NICU admissions . These dAs a precautionary step, questions about possible travel history, history of contact with a COVID-19 positive person, residence in a containment area or belonging to a hotspot zone along with presence of flu-like illness have been added to the existing donor registration form. These are similar to the questions asked for non-donor mothers who visit the centre to express with breast pumps.The process of handling milk in a milk bank requires good manufacturing practices and the use of PPE to protect the personnel and donated human milk from unnecessary exposure. Donor screening and microbiological profiling of raw donor human milk and pasteurization ensures the safety of the PDHM. As elaborated by the European Milk Banking Association (EMBA) in its statement, the process of pasteurization could potentially help destroy SARS-CoV-2, if present . The staHygiene helpers are responsible for cleaning plasticware in CLMCs. In view of the fact that mothers visiting the facility could potentially be asymptomatic carriers of SARS-CoV-2, appropriate protective gear like face shields, N-95 masks, gowns and gloves are donned by the hygiene helpers while handling the plasticware utilized for mothers during milk expression.Human milk banks should maintain impeccable hygiene standards at all times. With the well debated issue surrounding the handling of human milk containers as being potential sources of SARS-CoV-2 transmission, Marinelli et al. suggested using \u201chigh level of disinfection\u201d bleach to clean plasticwares in milk banks . AlternaWhat is interesting to note is that the temperature stability study reports complete inactivation of SARS-CoV-2 virus after 5\u2009min of exposure at 70 degrees Celsius . The proThe ongoing pandemic has impacted the functioning of human milk banks throughout the world. Attempts should be made to minimise the impact on the health and well-being of the vulnerable infants. Breast milk has notable benefits for the neonate including the potential for transfer of bioactive agents such as anti-infective antibodies along with other established long-term benefits. The core belief of human milk banking across the globe is to promote and strengthen breastfeeding.Human milk banks in developing nations have a pivotal role during these unpropitious circumstances to facilitate the use of breast milk and ensure provision of donor milk as gap support to the most vulnerable preterm infants (<\u20091500\u2009g and\u2009<\u200932\u2009weeks gestation) if mother\u2019s own milk is not available."}
+{"text": "Lone and colleagues used a national cohort to examine the association between living in a socioeconomically deprived area and critical care using timely data linkage Socioeconomic inequalities in health are pervasive and have been demonstrated across health outcomes and throughout the world. It is perhaps unsurprising that socioeconomic disadvantage is linked to higher risk of SARS-CoV-2 infection Lone and colleagues provide novel insight into the capacity of critical care units during the first wave of the pandemic in Scotland. Hospitals serving areas of higher deprivation saw greater use of critical care beds compared to hospitals serving areas of lesser deprivation. These findings demonstrate the continued relevance of Tudor Hart's Inverse Care Law, which describes an inverse relationship between the need for healthcare and its availability Lone et\u00a0al's recent contribution justifies the adoption of such an approach to the resourcing of critical care during the second wave of the pandemic, where additional staff and beds should be prioritised for areas with higher levels of deprivation to meet the greater critical care demand in these areas, whilst ensuring all areas have adequate resource to manage individuals requiring critical care.Understanding the socioeconomic gradient in demand for critical care beds is vital for policymakers if they are to mitigate the socioeconomic inequalities in COVID-19 outcomes, as we face a second wave of COVID-19 disease. Proportionate universalism has been advocated in addressing health inequalities, where universal provision of services are combined with targeting distribution to those most in need Although this research examined the association between COVID-19 outcomes and socioeconomic deprivation in the context of critical illness and intensive care admission, there is growing evidence of a socioeconomic gradient in COVID-19 prognosis across the spectrum of COVID-19 disease severity. Individuals living in more socioeconomically deprived areas are at increased risk of acquiring infection, complications and mortality . UnderstThe imminent introduction of effective COVID-19 vaccinations brings hope of controlling the infection and reducing harm. However, the burden of post-acute COVID-19 or \u2018Long COVID\u2019 will likely persist as the pandemic resolves. Given the higher incidence of COVID-19 disease in more socioeconomically deprived population, a greater incidence of Long COVID would be anticipated in this group. The inequity in clinical outcomes of COVID-19 disease across the socioeconomic gradient will be compounded by the unequal distribution of the indirect consequences of the pandemic and its impact on individuals\u2019 future health Lone and colleagues consider the association of socioeconomic deprivation and COVID-19 outcomes, other inequalities were omitted. The high proportion of missing ethnicity data in this cohort exemplifies the challenge of using healthcare records to explore ethnicity, because of their often incomplete or unreliable recording Whilst Inequalities do not exist in isolation and individuals will often experience multiple dimensions of social disadvantage, which will combine to produce their resultant health outcomes. As a result, the importance of applying the lens of intersectionality when examining health inequalities has been increasingly acknowledged in recent years. As an example, the intersection of ethnicity/race and occupation on COVID-19 risk has been demonstrated, where non-White healthcare and essential workers experienced higher infection risks compared to equivalent White workers ,9. WhilsScotland has a universal healthcare system which is free at the point of use and prioritises minimising barriers to access. Finding inequalities in this context suggests similar or larger health inequalities will occur elsewhere. Further international research which ideally takes a comparative perspective would be informative, allowing the assessment of if and how inequalities differ across different health systems SVK is co-chair of Scottish Government's Expert Reference Group on ethnicity and COVID-19. Except for the funding acknowledged above, we declare no other conflicts of interest."}
+{"text": "This study examines the relationship between social support profiles and cognitive functioning by race, ethnicity and nativity in older adults using cross-sectional data drawn from the Health and Retirement Study (2010 and 2012). We employed a hierarchical clustering routine to generate nine support profiles that differentiated three sources of support: children, wider family relationships and friendships. Cognitive functioning was measured as the score on the Telephone Interview for Cognitive Status (TICS-m), a 27 point scale of cognitive function. Our approach explicitly acknowledges the ambivalence and multidimensionality of close relationships and the resources embedded within them. Descriptive analyses revealed significant differences in access to support across demographic groups. White respondents are over-represented in profiles that are characterized by support from friends, and under-represented in family support profiles. The reverse is found among Foreign-born Hispanic respondents who are over-represented in the profiles characterized by high family support and under-represented in those with high friend support. Native-born Hispanic respondents and Black respondents have less clear support patterns, although both are more likely to receive support from family and children compared to friends. Findings from the poisson regression suggest that the relationship between familial support and cognitive decline is stronger among Hispanic respondents, particularly those who are foreign born. These findings are supported even with the inclusion of other relationship quality indicators including negative support and frequency of contact."}
+{"text": "From the onset of the Health Resources and Services Administration\u2019s Geriatrics Workforce Enhancement Program (GWEP), project initiatives have been developed to collaborate with Area Agencies on Aging and other community-based organizations (CBOs) serving the older adult community to improve health outcomes. The current GWEP funding cycle includes an initiative to further the principles of Age-Friendly Health Systems. Having built relationships within the aging services community, GWEPs are well positioned to deliver educational interventions framed around the 4M pillars of age-friendly healthcare. Three GWEPs are working with CBOs to implement and test interventions that address the interactive 4Ms. One GWEP has created an Age Friendly Community Education series in conjunction with their CBO partners in a low-income urban setting. Another GWEP has secured age friendly designation for its teams and worked with a coalition of CBOs to obtain both age and dementia-friendly designations for its home city of Springfield, MA. A third GWEP is implementing age-friendly practice workflows in programs that connect primary care and community-based organizations to address specific needs of an underserved older population. By integrating CBOs within the age-friendly health system framework, we can better create sustainable partnerships with health systems to improve health outcomes for our elders."}
+{"text": "Macaca fascicularis). We found soft and liquid feces, and vomiting in all treated groups with inorganic and organic arsenics. The monkeys in inorganic arsenic-treated group showed a significant increase in vomiting frequency compared with those in three organic arsenics-treated groups. These results suggest that inorganic arsenic might be more toxic than three other organic arsenics tested. The monkeys in inorganic arsenic-treated group showed a decrease in platelet and an increase in monocyte on day 4 and the monkeys in arsenocholine-treated group showed an increase in reticulocyte percentage on day 8. The monkeys in inorganic-treated group also showed decreases in AST and ALT values and the monkeys in arsenobetaine-treated group showed a decrease in AST value and an increase in T-CHO value. However, these hematological and biochemical changes were within the physiological ranges, showing that the single dose of inorganic and organic arsenics did not affect at least hematological and serum biochemical parameters. The present study of toxicity with single dose of arsenics provides valuable indicators for longer term study of toxicity of repeated doses of arsenics in primates.A screening study of the acute toxicity of organic arsenics such as arsenobetaine and arsenocholine, a product of arsenic methylation metabolite, and inorganic arsenic was carried out to examine hematological and serum biochemical parameters in cynomolgus monkeys ("}
+{"text": "Research has pointed to sense of purpose in life as an important individual difference that promotes successful aging, predicting greater psychological wellbeing, physical functioning, and cognitive health in older adulthood. Despite such benefits, it is unclear how major life challenges such as the onset of cognitive impairment may impact the sense of purpose of older adults. Building on this, the present study examined long-term change in sense of purpose in a longitudinal sample of older adults who would later develop dementia. Data were from 341 participants without dementia at study intake who were subsequently diagnosed with dementia during the follow-up period . Participants completed annual assessments of purpose in life up to 17 years prior to dementia diagnosis (M = 6.99 assessments prior to diagnosis). Piecewise growth modeling examined change in sense of purpose in life with time structured as years to diagnosis. Results suggested a period of accelerated decline distinct from normative age-related change beginning around 5.60 years prior to dementia onset. Discussion will focus on two potential explanations: that perceiving declines in cognition may lead to diminished sense of purpose in life or that underlying changes in the brain may impact both cognition and sense of purpose resulting in concurrent decline over time."}
+{"text": "The Arkansas Geriatric Education Collaborative (AGEC)\u2019s Geriatric Workforce Enhancement Program is partnering with a plethora of community based organizations (CBO) and with ARcare, an Arkansas federally qualified healthcare clinic network, to implement the 4Ms of age-friendly care in rural clinics. Baseline clinical data related to the Age-Friendly 4M Framework has been gathered and quality improvement projects initiated to improve the outcomes. Initiatives to improve depression and cognitive screenings are addressing Mentation; fall prevention screens and the offering of fall prevention programs have been added for Mobility; high risk medication screens and chronic pain educational programs are being implemented to address Medications; and finally, Medicare Annual Wellness Visits is the cornerstone to improve what Matters to older adults. A campaign that involves partnered CBOs to address health literacy and increase involvement in evidence-based programs is also helping to drive improvements in age-friendly care in rural Arkansas."}
+{"text": "Human cytomegalovirus (HCMV) is a beta herpesvirus that persists for life in the majority of the world's population. The persistence of HCMV in the human population is due to the exquisite ability of herpesviruses to establish a latent infection that evades elimination by the host immune response. How the virus moves into and out of the latent state has been an intense area of research focus and debate. The prevailing paradigm is that the major immediate early promoter (MIEP), which drives robust expression of the major immediate early (MIE) transactivators, is epigenetically silenced during the establishment of latency, and must be reactivated for the virus to exit latency and re-enter productive replication. While it is clear that the MIEP is silenced by the association of repressive chromatin remodeling factors and histone marks, the mechanisms by which HCMV de-represses MIE gene expression for reactivation are less well understood. We have identified alternative promoter elements within the MIE locus that drive a second or delayed phase of MIE gene expression during productive infection. In the context of reactivation in THP-1 macrophages and primary CD34+ human progenitor cells, MIE transcripts are predominantly derived from initiation at these alternative promoters. Here we review the mechanisms by which alternative viral promoters might tailor the control of viral gene expression and the corresponding pattern of infection to specific cell types. Alternative promoter control of the HCMV MIE locus increases versatility in the system and allows the virus to tightly repress viral gene expression for latency but retain the ability to sense and respond to cell type-specific host cues for reactivation of replication. Human cytomegalovirus (HCMV) is one of nine herpesviruses infecting humans. Primary HCMV infection is typically asymptomatic. Like all herpesviruses, HCMV evades immune clearance and establishes a life-long latent persistence Goodrum, . The latHCMV infects a diverse array of human cell types. While the biology of HCMV infection has been most thoroughly characterized in the context of robust productive replication in fibroblasts, other patterns of infection are unique to other cell types. For example, replication in epithelial cells and endothelial cells results in a chronic or low-level smoldering infection response upregulates PML-associated host factors and reversibly blocks IE gene expression to drive latency in MCMV-infected endothelial cells (Dag et al., SAMHD1 is a restriction factor that depletes the pool of available dNTPs to suppress DNA polymerase processivity and has recently been shown to restrict MIE gene expression and replication by impeding NFkB activation in myeloid cells (Kim et al., While much remains to be understood about the signaling events and coordination of repressive activities to repress viral gene expression for latency, much less is known about how these layers of control are unraveled for reactivation. Reactivation necessarily depends on counteracting the strong, layered epigenetic silencing associated with latency. The reactivation of CMV from latency has been intimately linked to changes in signaling and hematopoietic differentiation (Soderberg-Naucler et al., Reactivation is associated with changes in the levels or binding of host transcriptional activators to the MIE region that stimulates reactivation (Bain et al., Because the MIEP is strongly repressed during latency and chromatin modifications in the MIE region correlate with cellular differentiation and the permissive state, it has been presumed that de-repression of the MIEP is a prerequisite to re-expression of IE genes upon reactivation . Recent + HPCs and CD14+ cells (Shelbourn et al., in vitro, MIE transcripts are also predominantly derived from the intronic promoters, and mutant viruses wherein the intronic promoters are disrupted reactivate poorly following stimulation in infected THP-1 or CD34+ HPCs.While MIE gene expression from the intronic promoters is not required for virus replication in fibroblasts, the presence of these alternative MIE promoters offers exciting possibilities with regard to the control of MIE gene expression in the context of latency and reactivation. This is particularly true in light of findings that MIEP activity is weak in cells that support HCMV latency, including CD34+ monocytes treated with phorbol ester (Mason et al., + or CD14+ cells and in CD14+-derived macrophages stimulated with IL-1b and M-CSF, MIE transcripts were predominantly derived from the MIEP. These findings raise the possibility that regulation of the MIE locus, including the usage of various transcription factor binding sites and distinct promoters, is cell type-specific. This level of complexity would allow the virus to respond to multiple reactivation stimuli using different signaling pathways. In support, the transcription factors CREB and NF-\u03baB, which bind the MIE enhancer region upstream of the MIEP transcription start site, were shown to play a cooperative role in re-initiating MIE gene expression in NT2 cells treated with phorbol ester (Liu et al., These findings suggest a model whereby the MIEP is silenced upon the establishment of latency and re-expression of MIE genes and reactivation of the replicative cycle requires switching to the intronic promoters to drive MIE gene expression . At leas+ HPCs, demonstrating a role for FOXO transcription factors in reactivation. This is intriguing, as FOXO3a localizes to the nucleus or is induced in myeloid progenitor cells in response to cellular stresses and differentiation (Paik et al., Providing insight into the regulation of the intronic promoters, intron A sequences contain consensus binding sites for the forkhead family transcription factors. The MIE intronic promoters can be activated by both FOXO1 and FOXO3a members; however, FOXO3a appears to be the transcription factor critical for reactivation (Hale et al., Transcripts with alternative 5\u2032 ends may be driven by promiscuous initiation of transcription or alternative promoter usage. Either mechanism serves to provide additional, context-dependent regulation of gene expression or to expand the limited coding potential within a viral genome. The ~240 base pair HCMV genome is estimated to encode >165 ORFs (Davison et al., UL136 is encoded on a polycistronic locus spanning UL133-UL138 that encodes multiple proteins important to viral latency and reactivation. UL136 protein is not synthesized from longer transcripts encoding UL133 or UL135 (Grainger et al., UL136 transcripts have unique 5\u2032 ends that give rise to a series of unique proteins, each with a successive truncation amino terminal end compared to the full-length UL136 protein (Caviness et al., UL136 promoter has not been mapped and it is not yet clear if UL136 transcripts arise from multiple promoters or initiation of transcript or how they might be differentially regulated in different contexts of infection. However, mutant viruses lacking single or combinations of the UL136 variants have revealed important roles for each in either stimulating or suppressing virus replication in endothelial cells and for the establishment of latency or reactivation from latency in CD34+ HPCs and humanized mice (Caviness et al., Alternative promoters play key roles in tailoring gene expression for cell lineages, tissue types, developmental stages, stress and differentiation (Davuluri et al., FG wrote manuscript. DC-M and NM contributed data supporting manuscript and revised manuscript. JK contributed data supporting manuscript, revised manuscript, and contributed to figure. All authors contributed to the article and approved the submitted version.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Macular telangiectasia type 2 (MacTel) is a bilateral retinal disease that seems to be limited to the juxtafoveal region of the macula. We herein report an unusual presentation of MacTel with a large pigment deposit at the macula. Fundus of the right eye showed a large pigment deposit at the macula and right-angled venule. The left eye fundus showed a grayish discoloration due to subretinal fibrosis, dark pigment clumps and right-angled venule in the macula. Lesions were highlighted on multicolor imaging and blue reflectance imaging. Spectral domain optical coherence tomography (SD-OCT) of both eyes showed hyperreflectivity on the inner aspect of the retina corresponding to the area of pigment clumping. Macular telangiectasia type 2 (MacTel) is a bilateral retinal disease that seems to be limited to the juxtafoveal region of the macula . It is uA 65-year-old female patient came to our hospital with the complaint of diminution of vision in both eyes. Best corrected visual acuity was counting fingers at 2 meters in the right eye, and 20/30 in the left eye. The patient gave a history of diabetes and hypertension for 10 years. Fundus examination of the right eye showed a large pigmented lesion and right-angled venule in the macula in the parafoveolar area may be the first ophthalmoscopically visible change in patients with MacTel, which is seen as an area of increased reflectance on confocal BR imaging. Paracentral vertically oriented slightly dilated right-angled venules are seen draining the telangiectatic area. These right-angled venules typically develop temporally. It has been suggested that a retinal Muller glial dysfunction or cell death may contribute to the formation of these venules . Due to Optical coherence tomography angiography (OCTA) is a novel technique that visualizes vascular tissue using flow characteristics. Volume-rendered OCTA allows clear visualization of retinal vasculature at all depths. Subretinal neovascularization can occur in MacTel. RPE abnormalities may provide a conduit for abnormal vessels in the subretinal space to proliferate into the sub-RPE compartment . In OCT-Extensive pigmentation can often be seen in patients treated with focal laser or photodynamic therapy. In our case, there was no previous history of laser treatment. Interestingly we found an unusual large dark pigment deposit at the macula which has not yet been described in the literature. However, these pigmented lesions should be differentiated from tumors of the RPE that include solitary congenital hypertrophy of the RPE (CHRPE), congenital hamartoma of the RPE, combined hamartoma of retina and RPE (CHRRPE) and adenoma of RPE. The differentiation between these conditions is primarily done clinically. CHRPE is a peripheral or mid-peripheral fundus lesion that is well-demarcated, flat or slightly elevated, and can either be black homogeneous with typical depigmented lacunae or completely depigmented . Most soThis case report highlights an unusual presentation of a large pigment clump in a case of MacTel which has not been previously reported.The authors declare that they have no competing interests."}
+{"text": "Ageism, a multidimensional construct, is also understood as a relational process whereby perceptions and behaviors toward older individuals by younger individuals not only damage the self-esteem of elders, but also create a hostile environment for their own future social interactions and their own future self-development as elders. Anti-ageism interventions have the hefty task of improving attitudes and behaviors toward aging within all of these contexts. This presentation will discuss findings from two different anti-ageism interventions both designed to mitigate the negative impacts of ageism. Results from a study on an intergenerational arts-based program found that after participation students demonstrated a positive change in their attitudes toward older adults. Findings from a video-based ageism intervention among a sample of 265 staff members in 15 senior living communities demonstrated decreased internalized aging anxiety as well as decreased ageist behaviors directly after the training and at three month post follow-up. Given the complex and systemic nature of ageism, diversity is necessary in scope and type of intervention in order to reach the broadest audience."}
+{"text": "In recent years, there have been outstanding achievements in stroke diagnosis and care ,2. Our bThis Special Issue of the Journal of Clinical Medicine features articles presenting considerations and improvements in acute stroke treatment, emerging neurosonology applications and novel predictors of stroke outcome.Intravenous thrombolysis (IVT) in patients with a low National Institutes of Health Stroke Scale (NIHSS) score of 0\u20135 remains controversial. The Potential of rtPA for Ischemic Strokes with Mild Symptoms (PRISMS) trial was a phase 3, randomized, double-blind clinical trial that aimed to test the safety and efficacy of intravenous thrombolysis, with tissue plasminogen activator (tPA) administered within 3 h of symptom onset in acute ischemic stroke (AIS) patients with mild, non-disabling neurological deficits score equal to or less than 5) . The stuMerlino et al. tested the hypothesis that the utility of intravenous tPA in patients with mild stroke symptoms may depend on their level of functional dependence at hospital admission . AuthorsRandomized controlled clinical trials have provided robust evidence on the benefit of both intravenous tissue tPA and EVT for improving the outcomes of acute ischemic stroke patients . HoweverRapid EVT delivery for acute ischemic stroke caused by large vessel occlusion leads to improved outcomes . OptimizThe underlying pathomechanism of a large vessel occlusion has been suggested to be associated with effectiveness of the EVT procedure and the outcomes of patients . In a reAlthough paroxysmal atrial fibrillation (AF) has been suggested to be present in at least a third of patients with cryptogenic stroke or transient ischemic attack (TIA) , currentLiantinioti et al. sought to identify whether cardiac arrhythmia detection in spectral waveform analysis during neurosonology examinations with Carotid Duplex and Transcranial Doppler ultrasound may be associated with a higher likelihood of paroxysmal AF detection . They ev2DS2-VASc score [Park et al. investigated the association between total carotid plaque number and long-term prognosis in ischemic stroke patients with AF . Total pSc score . AlthougSc score . The finCT perfusion imaging is used to guide systematic and endovascular stroke treatments for patients presenting in the extended time windows ,5,6. UltMost physicians use their own clinical experience in predicting their patients\u2019 outcomes after a stroke, as accurate prognostic models and tests of functional recovery in stroke patients are lacking to date .Min et al. performed a prospective cohort study to evaluate the usefulness of interhemispheric functional connectivity as a predictor of motor recovery in stroke patients with unilateral severe upper-limb paresis . FunctioAnkle-brachial blood pressure index (ABI) is calculated by the ratio of the systolic blood pressure of an ipsilateral ankle divided by the higher systolic blood pressure of the two arms . Low ABIThe impact of hemoglobin status and red blood cell transfusions (RBC) on acute ischemic stroke outcomes is controversial. Kim et al. aimed to investigate whether RBC transfusions and hemoglobin variability affects the outcome of patients after an acute ischemic stroke . The autAlthough platelet activation and aggregation has been suggested to play an important role in the pathogenesis of ischemic stroke, the association between platelet reactivity and ischemic lesions is still debatable. Ischemic stroke patients with high on-treatment platelet reactivity have previously been reported to be at increased risk of recurrent cerebrovascular ischemic events . WisniewIn a subsequent publication in the same issue of the Journal of Clinical Medicine, Wisniewski et al. assessed the relationship of platelet reactivity with early and late prognosis after an acute ischemic stroke, according to the stroke etiology . PerformEndothelial progenitor cells are considered to be a marker of both endothelial damage and endothelium regeneration ability . In a thAlthough real-world evidence confirms the beneficial effect of reperfusion therapies in the real-world setting, as well as the temporal improvements in stroke treatment delivery over the last few years, several research areas are still pending further investigation. The utility of intravenous tPA in patients with non-disabling stroke syndromes, the use of ultrasound cerebral perfusion imaging in the pre-hospital setting and the optimal in-hospital route for acute ischemic stroke patients with suspected large vessel occlusion are topics in acute stroke care that need to be further investigated. Ongoing research also needs to focus on the development of reliable radiologic, clinical and biomarkers predictors of stroke outcome."}
+{"text": "Management of coronary artery fistula (CAF) is based on obliterating the fistula communication between the cardiac arteries and other thoracic vessels.We describe the presentation of an 85-year-old female with progressive exertional dyspnea on a background of a long standing left anterior descending diagonal to pulmonary artery fistula. We utilized neuro-interventional techniques to perform coil embolization via use of a Scepter XC dual lumen micro catheter.Dual lumen balloon catheters allow for super-selective artery interrogation, stability of balloon positioning, with less trauma to vessel architecture and accurate embolization. There were no complications and the patient reported improvement of symptoms on review. Coronary artery fistulae (CAF) were first described by Krause in 1865 Krause . The majThe treatment of dural arteriovenous fistulae and cerebral aneurysms with liquid embolic agents or coil embolization, are well established in the neuro-interventional literature was inserted. Diagnostic angiography was performed using an 8 French Judkins catheter Fig.\u00a0 with supThe patient was well at 1 month clinical review with improvement in symptoms and no further delayed complications.The first percutaneous transluminal closure of a coronary artery fistula was described in 1989 (Nguyen et al. Balloon assisted embolisation is a common neuro-interventional procedure, first described in 1997 (Moret et al. Jagadeesan et al. (Jagadeesan et al. The use of detachable neurovascular coils allows for controlled placement and assessment of flow in non-target vessels prior to deployment. The enhanced potential for navigation of the microwire allows for super-selective interrogation of small feeder vessels which may otherwise be missed due to competitive arterial flow. Therefore the Scepter XC is useful for super-selective interrogation that is useful in tortuous cardiac vessels as in our case.The compliance of the Scepter XC balloon has previously been documented in the treatment of cerebral vasospasm, where radial expansion of the balloon conforms to the course of the vessel, which allows for balloon inflation that is less traumatic to the vascular architecture to prevent arterial injury and vessel rupture (Heit et al. Furthermore, the balloon and microwire lumens are separate in the Scepter XC micro catheter, which allows for retraction, exchange or reposition of the microwire without losing position of the catheter. This is not possible in a single lumen catheter due to subsequent retrograde blood flow into the balloon that can hamper inflation and deflation of the balloon (Wallace et al. A potential shortfall of using the Scepter XC catheter, however, is that the 5\u2009mm nose distal to the balloon can make positioning of the catheter difficult in areas of vessel bifurcation or tortuosity (Heit et al. The patient was well at six-month clinical review with improvement in symptoms and no delayed complications.The management of CAF is based on obliterating the fistula communication between cardiac arteries and other vessels. Dual lumen balloon catheters allow for super-selective artery interrogation and more accurate embolization, while reducing flow into a shunting lesion. Our approach took advantage of the Scepter XC balloon\u2019s compliance which provided greater stability in balloon positioning and can reduce trauma to vessel architecture."}
+{"text": "A routine of regular aerobic exercise has been shown to have non-pharmacological benefits for the prevention and treatment of many potential side effects from chemotherapy. This includes the whole spectrum of cancer care from diagnosis through treatment and long-term survivorship. The case report by Korn et al that accompanies this editorial describes an adolescent leukemia survivor with anthracycline-induced cardiomyopathy who was able to train and compete in a triathlon. This is an important contribution that demonstrates to an extreme the physical capabilities of cancer survivors.The role of exercise in the prevention and treatment of anthracycline cardiotoxicity remains controversial. In animal models, beneficial effects of exercise include preservation of left ventricular systolic and diastolic function by modulating heart rate and contractility through (a) an increase in antioxidant activity with reduction of reactive oxygen species release and increase in heat shock proteins; (b) a decrease in proapoptotic signaling; (c) a decrease in myocyte turnover through suppression of proapoptotic protein synthesis; and (d) changes in energy metabolism . In humaIn the patient not exposed to potentially cardiotoxic chemotherapy, long-term excessive endurance exercise may induce pathologic structural remodeling of the heart \u2013 training and participation in \u201cextreme\u201d activities can increase pre-load and induce atrial and ventricular volume overload with liberation of cardiac troponins, and with continued training, may induce structural changes -- patchy areas of myocardial fibrosis, LV dilatation/hypertrophy and increase in myocardial mass .This leads to a word of caution related to the intensity of exercise described in this case report. Vigorous activity with potential acute increases in catecholamines and increased energy demands can increase the risk of sudden death and acute myocardial infarction, especially in patients with underlying structural heart disease . PatientRisk of sudden cardiac death has also been described in cancer survivors with cancer therapy-related cardiac dysfunction. In the general population, sudden cardiac death in young athletes <35\u00a0years of age is typically due to inherited conditions and in older athletes >35\u00a0years of age is typically due to coronary artery disease (CAD) . In piloThe lack of consensus in the guidelines for exercise intensity among cancer survivors at high risk of cardiovascular late effects reflects the paucity of clinical studies in this area. The International Late Effects of Childhood Cancer Guideline Harmonization Group recommends cardiology consultation for cancer survivors with known therapy-related cardiomyopathy and for cancer survivors at high risk of cardiomyopathy prior to initiation of high-intensity exercise . The AmeThorough screening history and physical exam that includes a current assessment of cardiac structure and function (echocardiogram and possibly cardiopulmonary exercise testing);Education about possible warning \u201cred-flag\u201d symptoms;Prescription for graded training with avoidance of high-risk activities, especially in the absence of adequate pre-training;General recommendations about healthy lifestyle;Regular supervision and follow-up with medical personnelWhat is the answer? Maintaining balance and moderation is critical. A \u201clittle exercise\u201d is good; \u201cexcessive exercise\u201d may be detrimental. Therefore, our practice is to discourage extreme levels of exercise but recommend low-intensity endurance training and activities. Before prescribing a vigorous exercise program in patients previously exposed to anthracycline-based chemotherapy or radiation therapy to the left chest, patients should have:"}
+{"text": "Compton scatter photons are generally considered problematic in nuclear medicine imaging. Therefore, efforts are being made to minimize the involvement of these photons by employing some special strategies in daily practice. Basically, photons scattering at a small angle and traveling in the proper direction stand a chance of getting recorded and thereby participate in the image formation. These photons may create artifactual hot spots in the vicinity of a region with high concentration of radioactivity. The present study focuses on the negative impact of such photons during routine imaging in clinical setting, through an artifact detected in technetium-99m-IDA hepatobiliary scintigraphy, with the purpose of highlighting this issue to the nuclear medicine practitioners."}
+{"text": "Shellfish constitute an important protein source but may be contaminated by viruses from various origins. A study performed on clams collected in Cameroon showed a high prevalence of norovirus and hepatitis A virus. After sequencing, the hepatitis A virus showed similarities with the genotype V simian strains. The need for a one-health approach to protect humans from emerging diseases is evident by the high number of microbial pathogens that become zoonotic following insect bites or consumption of contaminated meat. This is particularly well documented for infectious disease transmission from non-human primates to human were collected on the Sanaga river , between February 2018 and March 2019 from two sampling points (eight from site B and six from site M). Clams were immediately frozen and shipped to the Ifremer laboratory where they were dissected and the digestive tissues (DT) recovered. Viruses were eluted from clam DT and nucleic acids were extracted using the reference method . The sequence of the VP3-VP1 cleavage site of KZN_Irr-20130530 suggested a simian origin for this strain (Rachida et al. Finding this virus in a food raises several concerns. If the strain originates from simian hosts, the risk of host jump to humans is enhanced by the high frequency of positive samples, the close relation between human and non-human primates, and the high stability of HAV. Indeed, some HAV strains appear highly resistant to heat and cooked coquina clams have been implicated in outbreaks (Pinto et al."}
+{"text": "A 35-year-old male smoker presented with reduced vision in OD for the previous two years. He reported a further drop in the vision for the previous two weeks after he underwent focal laser elsewhere. Clinical examination and multimodal imaging confirmed a giant tear of the retinal pigment epithelium (RPE) and a focal leak of CSCR. He was managed with the focal laser to the active leak and lifestyle modification. The ocular condition remained stable. RPE rips in CSCR have been reported to occur spontaneously or with an intervention like exogenous use of steroids, or photodynamic therapy (PDT). This case highlighted the fact that focal laser can precipitate RPE rip in a case of CSCR with tense bullous PED. The physician should keep this fact in mind while counselling the patient before a laser procedure and suspect an RPE rip in a patient with CSCR who presents with an acute onset of vision loss. The incidence and reporting of RPE rip has increased further with the extensive use of anti-VEGF injections [2]. RPE rips associated with central serous chorioretinopathy (CSCR) are uncommon, yet bullous variant of CSCR can present with RPE rip [3]. RPE tears associated with CNVM are caused by contraction of CNVM at the edge of PED; on the contrary, increased hydrostatic pressure in the PED is implicated for the blowout of RPE in CSCR [1]. The incidence of CNVM related RPE tear is reported to be 20% [2]. In an isolated case report, PDT has been associated with RPE tear in a case of CSCR [4]. Moreover, the continued use of steroids can worsen the PED in CSCR, leading to RPE tear [5]. RPE tears or rips are commonly associated with choroidal neovascular membrane (CNVM) and pigment epithelial detachment (PED) in patients with age-related macular degeneration . The prognosis of CSCR related RPE tear is considered better than CNVM related RPE tear [7]. The vision loss depends on the location and extent of the RPE tear. The RPE tear involving the fovea can cause substantial vision loss. The healing takes by either scarring or migration of RPE cells [8]. It is crucial to identify those cases that have the risk of RPE tear like a bullous variant of CSCR [3]. Patients should be counselled regarding the risk of RPE tear following laser, especially in high-risk cases. Utmost care should be taken for laser delivery, as the RPE is tense and high energy with small spot size can tear the RPE.No definitive treatment guidelines exist for the management of RPE tear. In our patient, we found an active focal leak in FFA and so decided to treat with focal laser because the focal leak would have further compromised RPE with fluid overload. Specific predictive markers have been described for RPE rip formation like the PED height, change in reflectance based on autofluorescence, subretinal cleft formation and duration of PED [This report highlighted a rare case of RPE tear in CSCR induced by focal laser. A high index of suspicion of RPE tear should be kept in mind in a case of CSCR if the patient presents with a sudden reduction of vision after the laser procedure. Multimodal imaging helps in early diagnosis and regular follow-up of the patient. Proper patient counselling before focal laser, especially in high-risk cases with a tense PED, must be done.Conflict of interestThe authors declare no conflict of interest. Financial DisclosureNil financial disclosures.No public private support."}
+{"text": "Amber can thus check AST, PAST, as well as their negations for a large class of polynomial probabilistic programs, while carrying out the termination reasoning fully with polynomial witnesses. Experimental results show the merits of our generalized proof rules and demonstrate that Amber can handle probabilistic programs that are out of reach for other state-of-the-art tools.The termination behavior of probabilistic programs depends on the outcomes of random assignments. Almost sure termination (AST) is concerned with the question whether a program terminates with probability one on all possible inputs. Positive almost sure termination (PAST) focuses on termination in a finite expected number of steps. This paper presents a fully automated approach to the termination analysis of probabilistic while-programs whose guards and expressions are polynomial expressions. As proving (positive) AST is undecidable in general, existing proof rules typically provide sufficient conditions. These conditions mostly involve constraints on supermartingales. We consider four proof rules from the literature and extend these with generalizations of existing proof rules for (P)AST. We automate the resulting set of proof rules by effectively computing asymptotic bounds on polynomials over the program variables. These bounds are used to decide the sufficient conditions \u2013 including the constraints on supermartingales \u2013 of a proof rule. Our software tool"}
+{"text": "The emergence of COVID-19 has recently dominated public discourse given its serious impact on vulnerable patient groups. Advice in relation to reducing risk of contamination has justifiably been circulated widely during the COVID-19 crisis. Contamination fear is a common obsessional theme in patients with obsessive\u2013compulsive disorder (OCD), and there is a need for increased research on how infectious disease epidemics affect patients with OCD. We present the case of a lady in her 30s with a history of well-controlled contamination OCD who presented acutely with a significant exacerbation of OCD symptoms precipitated by media reports of COVID-19. The case highlights the potential psychological impacts of infectious disease epidemics on individuals with mental illness. We also highlight some of the risks posed to such patients in response to epidemics such as the COVID-19 crisis. These functional limitations represented a significant deterioration from baseline and had emerged over a 3-week period. Furthermore, the patient\u2019s worsening OCD symptoms were associated with significant psychological distress including panic symptoms and passive death wish. AB exhibited good insight into the nature of her OCD symptoms and spoke of her difficulty in cognitively re-appraising her intrusive thoughts in light of the public discourse surrounding COVID-19.AB is single, unemployed and lives alone in rental accommodation. She reported a history of child sexual abuse (CSA), significant childhood separation anxiety, emetophobia (fear of vomiting) and depressive episodes throughout her 20s. She reported that her OCD symptoms had emerged in her early 20s and had fluctuated at this time. Fear of contamination was the predominant obsession and excessive hand washing the predominant compulsion; however, preoccupation with symmetry and pathological doubt with associated checking behaviours was also present to a lesser extent. She was treated as an outpatient for OCD approximately 10 years prior to the current presentation with Sertraline 150 mg daily and Cognitive Behavioural Therapy (CBT), with significant effect. The Sertraline was subsequently self-discontinued secondary to side effects. AB had also attended counselling for trauma related to previous CSA.AB satisfied ICD-10 criteria for a diagnosis of OCD. She did not meet ICD-10 criteria for current co-morbid depressive or other anxiety disorders. Following the initial emergency assessment, AB was commenced on Mirtazapine 15 mg nocte and was prescribed a short course of Alprazolam 250 mcg as required to treat her acute distress. At a subsequent psychiatric assessment, the mirtazapine was titrated to 30 mg, and an urgent referral for psychological assessment was made with a view to commencing CBT targeting OCD symptoms. At outpatient follow-up 2 weeks later, AB reported some initial improvement; however, news reports of the emergence of COVID-19 cases within Europe had briefly triggered a deterioration in her mental state with intensification of compulsive rituals, avoidance behaviours and psychological distress. AB described a reduction in the emotional reactivity to her obsessional thoughts, however reported that her compulsive acts continued. Augmentation with oral Risperidone was offered; however, the patient declined same, instead opting for dose titration of Mirtazapine to 45 mg nocte. Her mental state improved with this initial medication input, and she also reported feeling more assured as increased public health measures were implemented in Ireland to address the emerging COVID-19 crisis.This case describes the role of an infectious disease epidemic in precipitating a significant deterioration in a patient with OCD with predominant contamination obsessions and associated compulsions. Of note, the deterioration in mental state occurred prior to the arrival of COVID-19 in Europe, suggesting that it was predominantly increased media reporting of COVID-19 which precipitated her relapse in symptoms. The case raises several important points warranting further consideration.et al., In response to the COVID-19 pandemic, public health authorities have implemented public health measures and sought to increase public awareness around the importance of frequent hand washing and the observation of appropriate social-distancing measures. In this context, it is important to distinguish between the rational adaptive behavioural modifications undertaken by individuals in response to the pandemic, which are vital from a public health perspective, and the obsessional, irrational thoughts and compulsive acts exhibited during relapse of OCD. The presence of significant psychological distress in response to obsessional thoughts is a key feature of OCD and may predispose this patient cohort to a variety of risks. Some of the risks identified based on the current case include increasing isolation beyond the public health need for self-isolation; avoiding certain food types or restricting food intake to avoid contamination; the emergence of co-morbid conditions such as depression, anxiety or panic symptoms and the risk of misadventure by engaging in irrational acts to counter perceived risk of contamination. Of note, figures published recently by the United States Centre for Disease Control (CDC) show a significant spike in unintentional poisonings with household sanitising agents in recent months and there have been several media reports documenting cases of physical injury and death caused by overzealous or inappropriate use of cleaning products , may need to be substituted with approaches that encourage the client to imagine exposure to the feared stimulus. It has been suggested that the imaginal approach to exposure and response prevention provides less potent disconfirmation than that achieved by an In the current case, antidepressant pharmacotherapy was the principal initial treatment strategy employed which resulted in gradual stabilisation of symptoms, reduction in levels of distress and improvement of the patient\u2019s functional capacity over time. The initial stabilisation in mental state will allow improved chance for engagement with psychological therapies once COVID-19 restrictions are lifted.This case report outlines a possible clinical effect related to the onset of an infectious pandemic and the associated media reporting. Further research is needed to determine other potential mental health effects of the recent COVID-19 pandemic, and these effects should become more apparent in the coming months. In the meantime, it is important that clinicians and policymakers are aware of the potential increased risk of relapse among those with an underlying OCD diagnosis during infectious disease pandemics and that proactive efforts are made to provide necessary supports to this vulnerable population."}
+{"text": "We introduce our techniques using concrete example modules that have all been verified using the Coq proof assistant and combine to fully linked verified programs using a novel, abstraction-respecting component composition rule for Verifiable C.Modularity - the partitioning of software into units of functionality that interact with each other via interfaces - has been the mainstay of software development for half a century. In case of the C language, the main mechanism for modularity is the compilation unit / header file abstraction. This paper complements programmatic modularity for C with modularity idioms for specification and verification in the context of Verifiable C, an expressive separation logic for CompCert Clight. Technical innovations include (i)"}
+{"text": "A 56-year-old man was referred to our institution for cardiac ablation because of several episodes of palpitations and thoracic pain with an electrocardiogram suggestive for left atrial tachycardia (160 bpm). He was affected by arrhythmogenic right ventricular cardiomyopathy (ARVC) with left ventricular involvement and a plakophillin-2 gene mutation. A cardiac magnetic resonance imaging scan showed biventricular fibro-fatty infiltration with matching late gadolinium enhancement.. However, we could not exclude a macro-reentrant tachycardia with a slow-conduction isthmus inside the vein of Marshall with its fibrous and muscular component as supported by the presence of fragmented potential along the line of block.An electrophysiological study was performed in combination with electroanatomic mapping (EnSite Precision\u2122). An activation map of the left atrium during tachycardia was created with the Advisor\u2122 HD Grid Mapping Catheter, Sensor Enabled\u2122. The region of earliest activation was identified at the base of the left atrial appendage (LAA), confirmed also by the EnSite\u2122 LiveView Dynamic Display. The activation wavefront was suggestive for a focal-origin tachycardia from the LAA with an uncommon line of block between the LAA and left superior pulmonary vein along the left atrial roof Ablation with 25 W at the earliest activation site terminated the tachycardia within three seconds. At six months of follow-up, no recurrence of the arrhythmia was observed."}
+{"text": "Sustainable energy and chemical/material transformation constrained by limited greenhouse gas generation impose a grand challenge and posit outstanding opportunities to electrochemical material devices. Dramatic advancements in experimental and computational methodologies have captured detailed insights into the working of these material devices at a molecular scale and have brought to light some fundamental constraints that impose bounds on efficiency. We propose that the coupling of molecular events in the material device gives rise to contra-varying or co-varying properties and efficiency improving partial decoupling of such properties can be achieved via introducing engineered heterogeneities. A specific class of engineered heterogeneity is in the form of isomaterial heterostructures comprised of non-native and native polymorphs. The non-native polymorph differs from their native/ground state bulk polymorph in terms of its discrete translational symmetry and we anticipate specific symmetry relationships exist between non-native and native structures that enable the formation of interfaces that enhance efficiency. We present circumstantial evidence and provide speculative mechanisms for such an approach with the hope that a more comprehensive delineation of proposed material design will be undertaken. Improving the stability of the photoelectrodes via conformal coatings with optimal transparency and catalytic properties and the third contra varying property has implications on this front. Many approaches toward improving optical absorption cross-section like incorporating substitutional dopants, surface grafted-dyes, plasmonic nanoparticles of such devices as opposed to other solid-state devices like solar-cells and microprocessors, which have stability ~20 years. The issues of stability are severe in PEC-OER. Typically, most stable materials (like TiOThe main contra-varying property in EC-OER is that the more (less) active OER electrocatalyst are less (more) stable which is due to molecular reasons behind instability involving over-oxidation of cations leading to dissolution into the solutions does not readily give information about the thermodynamic stability and hence, we have adopted the notation like NN2, NN1, and N, where the energetic stability is in the order NN2 < NN1 < N from electrochemical processes (via electrolyzer), allowing for better optimization of the two material components separately. Coupling of physicochemical events impose fundamental bounds on efficiencies and may give rise to contra varying or co-varying relationships (Activation barriers in a multi-electron transfer step) that makes engineering processes at a molecular scale challenging.We propose that decoupling can be implemented via engineering heterogeneity in the material in the form of isomaterially heterostructured interfaces comprised of non-native and native crystallographic structures. A variety of non-native structures have been synthesized and well-characterized by modulating the surface and bulk energies. Such interfaces will be related via group-subgroup relationship within space-group theory due to which there is a higher chance of having interfaces bound coherently without broken interfacial bonds, which in turn aid in the efficiency of material devices. Much of the important details of such an approach remains to be worked out and corroborated via experiments and we hope that this article will aid in further exploration along this direction.The author confirms being the sole contributor of this work and has approved it for publication.The author declares that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "In the skill acquisition and rehabilitation literature substantial attention is placed on the central and peripheral action systems\u2014the efferent and motor performance side of the behavior. However, there is a quiet but steady interest being expressed in the role of sensation\u2014and the perception of sensation\u2014in improving performance. There is also growing recognition that the primary function of different sensory systems can be trained in clinical populations to improve detection, discrimination, and spatial/object recognition. Moreover, the more hidden function of perception of sensations can improve motor performance by improving feedback and feedforward.We are delighted that the following selection of 12 papers explores these topics conceptually and empirically in humans. They include a systematic review, randomized controlled trials, pilot reports, imaging, and mechanistic studies; in clinical and non-clinical populations.Zerr et al. have explored multi-sensory processing\u2014in particular the temporal binding window\u2014whereby we build up composite and coherent perception. Their pilot randomized controlled trial (RCT) demonstrates this window of time for binding multiple sensory input is both modifiable with training AND can influence function\u2014in this example fluency of speech. Further, Matsugi et al. elaborate on the role of the cerebellum in modulating specifically vestibulo-spinal function using either transcranial magnetic (repetitive cerebellar) or galvanic (noisy) stimulation. Both authors invite readers to consider future clinical applications.Several authors have investigated aspects of sensory function in healthy populations. Yasuda et al. and Zhang et al. both considered the sensory aspects of walking in healthy populations. Yasuda investigated augmenting feedback (vibrotactile) to the feet during gait practice whilst Zhang tested a system that simulates the usual tactile pressures experienced on the soles of the feet during walking. Lopez-Rosado et al. explored these ideas in a pilot clinical trial with people with stroke\u2014finding that increasing tactile input to the affected foot (using a sock that passively stimulates) could improve gait speed.Serrada et al.) have reported a systematic review and meta-analyses of RCTs investigating the effect of sensory-based interventions on function after stroke. They confirmed that the literature still supports the effectiveness of more passive modalities\u2014stimulating body parts with afferent (sub-motor-level) devices\u2014with the strongest evidence. There is also emerging evidence for the active retraining of sensory appreciation and its effect on both sensory appreciation and motor performance, however more research in larger, stronger studies is still needed.Other papers also investigated the role of sensory training in people with stroke. To provide an overview of the current literature improved both postural control and sensory integration in their RCT. Allowing the participants to have a voice in their RCT, Turville et al. reported that people post-stroke found their somato-sensory retraining program (SENSe) to be both challenging and rewarding\u2014believing it helped them to increase their sensation and to improve the way they used their stroke-affected arm. Adding to the quest for robust methodology in sensory training research, Carey et al. validated an objective measure of haptic object identification for researchers and clinicians to use to evaluate change in stroke survivors before and after the same form of somatosensory retraining.Other studies investigated specific modalities for sensory-based intervention post-stroke. Cai et al. concluded that people with stroke can consistently and accurately perceive force production (torque or effort) at either their affected or less affected elbow if tested unilaterally, but not simultaneously. This confirms we need to further consider the role of cognition and attention in sensory rehabilitation.The final stroke-related paper investigated a different form of somato-sensory appreciation. Cuppone et al. investigated the idea that people with visual impairments may also have spatial perceptual issues. They used an intact sense (auditory) coupled with movement to improve proprioceptive spatial perception in this group. This furthers our understanding of the way we can use complementary senses to substitute in situations of severe impairment.The remaining paper leads us back to considering multiple sensory input. We hope you find these studies of interest\u2014we are particularly pleased that the research spans different sensory modalities from vision and audition to somatosensory and vestibular. We look forward to ongoing interest in the training of sensation (and perception) for improvement of skilled performance in non-clinical and clinical populations.All authors contributed to the editorial and approved the final version.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "The prevailing practices adopted during the coronavirus disease 2019 (COVID-19) pandemic pertaining to hygiene, personal protection strategies, and quarantine measures have opened up unforeseen possibilities of these basic measures being one of the key factors that could reduce exacerbation rates in asthma and COPD. This pandemic may just provide the right framework for these comprehensive guidelines to be revisited to review their present recommendations.Global Initiative for Chronic Obstructive Lung Diseases (GOLD)6. Several theories have been proposed to explain this paradox. These range from protective effects of inhaled corticosteroids, a different immune response in patients with COPD, under diagnosis of chronic respiratory diseases (CRDs), and possible benefits of hygiene and isolation measures6.During the COVID-19 pandemic, there has been a lot of focus on its impact on those with comorbidities in whom the outcome, in terms of hospitalizations and mortality, has been higher. However, surprisingly and contrary to the general perception, overall prevalence of COPD and bronchial asthma patients affected by COVID-19 has been quite low as compared to the global burden of these diseases8. This intriguing association of CRDs in those with mild COVID compared to those with severe illness is not clearly understood.By contrast, the disease severity and overall outcome in COVID-19 patients with CRD has been more severe. Reports from across the globe state CRDs as among the most frequent comorbidities associated with severe COVID illnesses requiring intensive care unit admissions, need for mechanical ventilation, and deathsA common clinical observation shared by physicians worldwide has been a significant reduction of acute exacerbation of COPD (AECB) and asthma in the last quarter of 2020. The impact of the pandemic has resulted in appreciably better air quality. These are likely due to reduced pollution and extreme measures practiced globally to avoid respiratory transmission of infections. Concerns about access to health care and awareness among patients that optimized treatment of their lung disease lowers their risk of COVID-19 complications probably are factors leading to good adherence to prescribed medications. It is plausible that an interplay of these factors may have resulted in reduced AECB and exacerbation of asthma, although this causal relationship needs to be confirmed.9. Such studies could also encourage better adherence to the use of face masks and respirators in public and health-care settings. Robust randomized trials are, however, needed to gauge and substantiate the evidence for these interventions. Systematic appraisal of currently available evidence might pave the way for interim guidance on effectiveness of these basic and common interventions in combating the immediate threat of COVID-19 infections9.Data emerging from systematic review and meta-analysis have demonstrated lower risk of infection for physical distancing of 1\u2009m as was with the use of face masks. Added benefits are likely with physical distances of \u22652\u2009m based on modeling by meta-regression analysisThe landmark guidelines GOLD and GINA have been surprisingly silent on basic sanitary and respiratory hygiene measures and have overlooked the role of masks in certain specific settings. Recommending the use of masks for stratified high-risk group of CRD patients in certain settings such as mass gathering may be a judicious and far-sighted move. Weighing the scientific uncertainty and the contextual considerations, there is a need for a more nuanced view by members of the task force formulating the guidelines. It would only be prudent to include these basic lifestyle modifications and preventive measures among the non-pharmacological interventions for COPD and asthma in the guidelines. GOLD and GINA should also consider updating their guidelines with practical recommendations for personal protection equipment and other hygiene measures for safe spirometry procedures. Presently, this phenomenon is largely based on non-scientific observations from the real-world clinical practice. Data from randomized controlled trials and other scientific studies are needed to validate these preliminary observations.Exacerbations are the primary factors that modify the long-term disease progression in these CRDs. Therefore, these above-mentioned basic but feasible and universally adaptable measures have a promising role along with pharmacotherapy in potentially reducing exacerbation. As a result, these measures could modify the overall disease outcome in CRDs."}
+{"text": "In December 2019, a new virus causing pneumonia called Severe Acute Respiratory Syndrom Coronavirus 2 (SARS-COV 2) appeared in the city of Wuhan in China . TransmiEarly diagnosis based on cases definition, isolation and supportive therapy in severe forms were adopted . In the Infection control and prevention of transmission, therefore, become a permanent challenge in the dental care and require additional resources especially in resources constraints setting such as sub-Saharan Africa. The following measures has been proposed to reduce the risk of transmission for dental health care worker: reorganization of the reception system with systematic temperature-taking of patients; a questionnaire (in order to stratify patients according to their risk of being infected) asking for the general health status, a history of travel to an epidemic zone in the previous 14 days and a close contact with an infected or suspected positive SRAS-COV 2 individual . FurtherWhile business support plans have been developed and include dental professionals in developed countries, in sub-Saharan Africa few efforts in this direction have been undertaken . There iThe COVID-19 pandemic in sub-Saharan Africa brings up a big challenge to the continuity of oral health care provision. Adaptation and reshaping seem necessary to reduce the contamination\u2019s risk for staff and patients. It would be important to support these professionals to maintain their activity while ensuring safety for patients and the community.The author declares no competing interests."}
+{"text": "Background: Glioblastoma multiforme is a malignant intracranial neoplasm that constitutes a therapeutic challenge because of the associated high morbidity and mortality given the lack of effective approved medication and aggressive nature of the tumor. However, there has been extensive research recently to address the reasons implicated in the resistant nature of the tumor to pharmaceutical compounds, which have resulted in several clinical trials investigating promising treatment approaches. Methods: We reviewed literature published since 2010 from PUBMED and several annual meeting abstracts through 15 September 2020. Selected articles included those relevant to topics of glioblastoma tumor biology, original basic research, clinical trials, seminal reviews, and meta-analyses. We provide a discussion based on the collected evidence regarding the challenging factors encountered during treatment, and we highlighted the relevant trials of novel therapies including immunotherapy and targeted medication. Results: Selected literature revealed four main factors implicated in the low efficacy encountered with investigational treatments which included: (1) blood-brain barrier; (2) immunosuppressive microenvironment; (3) genetic heterogeneity; (4) external factors related to previous systemic treatment that can modulate tumor microenvironment. Investigational therapies discussed in this review were classified as immunotherapy and targeted therapy. Immunotherapy included: (1) immune checkpoint inhibitors; (2) adoptive cell transfer therapy; (3) therapeutic vaccines; (4) oncolytic virus therapy. Targeted therapy included tyrosine kinase inhibitors and other receptor inhibitors. Finally, we provide our perspective on future directions in treatment of glioblastoma. Conclusion: Despite the limited success in development of effective therapeutics in glioblastoma, many treatment approaches hold potential promise including immunotherapy and novel combinational drugs. Addressing the molecular landscape and resistant immunosuppressive nature of glioblastoma are imperative in further development of effective treatments. Glioblastoma multiforme is the most aggressive intracranial tumor; histologically considered as a malignant glioma arising from an astrocytic lineage (WHO classification: astrocytoma grade IV), and it represents the most common malignant primary brain tumor in adults ,2. DespiIn this review, we discuss the distinct factors that are essential in understanding the challenges in the treatment of glioblastoma. Second, we offer a review of potential novel treatments including (immunotherapy and targeted therapy), and the rationale behind their use. Finally, we present our prospective on future directions in the pursuit of novel effective treatments for glioblastoma.Perhaps the most consequential discovery that has shifted the paradigm of cancer treatment and substantially led to improved outcomes in multiple cancer types is the discovery of the immune system role in preventing tumor growth and killing cancer cells which has coined the term \u201canti-tumor immunity\u201d . For exaThe blood-brain barrier (BBB) forms a dynamic interaction of endothelial cells, pericytes, microglia, astrocytes, and is responsible for the integrity of the central nervous system . BBB plaOf importance to immunotherapy, BBB plays an essential role in regulating immunosurveillance and restricting immune cell passage into the central nervous system (CNS), which could limit the efficacy of many novel drugs that work by recruiting the immune system to attack cancer cells. However, the insight gained from other CNS diseases on the ability of immune cells to cross BBB in certain autoimmune and inflammatory diseases, could help further research on exploiting this vulnerability in the administration of novel immunotherapies in glioblastoma ,42,43.To circumvent these challenges, several methods are under ongoing investigation to overcome the BBB and BBTB and achieve sufficient delivery of therapeutic compounds inside glioblastoma. One promising method is the delivery of drugs through nanoparticles which allow for the individual units loaded with drug to be carried to glioblastoma cells . For exaConvection-enhanced delivery (CED) is another promising method that has shown to encourage preclinical and clinical results . This meMoreover, it is important to note that some drugs can have an effect on glioblastoma despite not being able to penetrate BBB into the tumor. For example, bevacizumab, which is a VEGF inhibitor that has shown improved PFS and quality of life in glioblastoma patients, prevents angiogenesis within the vasculature compartment without the need of being present inside the tumor cells ,11,12. AThe long-standing historical notion of the CNS being considered an immune desert because it is devoid of effective resident immune cells has been challenged by rigorous research which demonstrated that the CNS has specific lymphatic system and is occupied by immune cells with unique characteristics compared to its counterparts in other organs .The paramount advances in cancer treatment with the introduction of ICI as well as other immunotherapies have drastically shifted the focus in cancer treatment on exploiting pathways involved in host immune defense mechanisms to fight cancer cells \u201canti-tumor immunity.\u201dAlthough immunotherapies have shown significantly improved outcomes in different solid and hematological malignancies, the outcomes in glioblastoma have been mild to moderate at best. This stems from the fact that TME of glioblastoma employs an immunosuppressive effect despite the abundance of a variety of immune cell subsets ,51. For Additionally, tumor-associated macrophages (TAM) and microglia are essential subtypes of immune cells that constitute the majority of cellular mass in glioblastoma (30\u201350%) . These cThe other important factor that is associated with an immunosuppressive microenvironment in glioblastoma is the increased expression of checkpoint receptors such as PD-L1, IDO, TIM3 on T-cells and TAMs ,68,69,70For the abovementioned reasons, the negative impact of glioblastoma on the immune microenvironment which favors the presence of dysfunctional and deregulated immune cell subpopulations, constitute a major challenge on the implementation of effective immunotherapies in the treatment of glioblastoma. Therefore, efforts are focused on exploiting existing vulnerabilities in the TME of glioblastoma to reactivate the immune system against tumor cells. For example, TAMs display plasticity which refers to their ability of switching their phenotypic features leading to a change in their function. As such, this plasticity could be exploited to selectively express a phenotype that favors macrophage type-1 (M1) which is a pro-inflammatory cell that can boost host immunity versus macrophage type-2 (M2) which is considered pro-tumorigenic . SimilarThe common definition of glioblastoma by World Health Organization classification as a high-grade glioma-IV offers limited insight into the genetic heterogeneity of glioblastoma. Genomic characterization by The Cancer Genome Atlas (TCGA) research group and the comprehensive molecular analysis helped delineate three distinct tumor-intrinsic transcriptional glioblastoma subtypes including proneural, mesenchymal, and classical ,75. ThisThe genetic heterogeneity appears to reflect distinct glioblastoma immune subsets based on the molecular signature . For exaFurthermore, tumor mutation burden (TMB) status that estimates the frequency of mutations that are present per megabase of malignant cell DNA correlates with response observed in several solid malignancies during treatment with ICI. This is the result of increased neoantigen formation and presence of new mutant proteins that are immunogenic and can induce anti-tumor response . As suchTherefore, further characterization of immune abundance based on gene expression of glioblastoma can prove to be helpful in identifying selected patients as immunotherapy continues to assume a critical role in the treatment of cancer. The correlation between glioblastoma genetic subtypes and tumor response to immunotherapy is an open area for research as deeper understanding is required to evaluate the effect of molecular variations on tumor cell survival and sensitivity or resistance to immunotherapy.Several iatrogenic factors can affect and lead to alteration of glioblastoma on the genomic level as well as TME. As mentioned in the previous section, treatment with TMZ can increase hypermutated status, which is associated with higher neoantigen formation ,88,89,90Additionally, bevacizumab which is used in the treatment of primary and recurrent glioblastoma can lead to diminished infiltrative immune suppressive cells, low PD-1/PD-L1 expression and increased cytotoxic T cells which can alter the efficacy of immunotherapies . To thisImmunotherapy entails several pharmaceutical compounds that have different mechanism of action and can be categorized into: (1) Monoclonal antibodies (ICI) that target checkpoint protein receptors ; (2) adoptive transfer of bioengineered immune cells which are designed to destroy malignant cells such as CAR-T cell therapy and CAR-natural killer therapy (CAR-NK); (3) cancer vaccines that use mutant tumor peptides or immune cell-based components to induce anti-tumor immunity; and (4) oncolytic viruses that preferentially destroy malignant cells through direct and indirect mechanisms by engaging effector immune cells against cancer cells.p = 0.0343) [Immune checkpoint inhibitors (ICIs) have revolutionized the management of cancer in the last decade since the approval of CTLA-4 inhibitor (ipilimumab) in 2011, which was followed by approval of other ICI (PD-1/PD-L1 inhibitors). As mentioned previously, ICI can reinvigorate anti-tumor immune response by blocking checkpoint receptor molecules which are responsible for an immune-inhibitory effect that leads to immune evasion of cancer cells. The clinical efficacy of this class of medication has been echoed by durable improved outcomes including prolonged OS and PFS in several solid tumors including melanoma, lung, urothelial, breast, and liver cancers. Following the successful implementation of ICI in several solid malignancies, further research was conducted to evaluate their efficacy in other tumor types including glioblastoma. As the main target of ICI is the checkpoint receptor in TME, the presence of these receptors appears to be essential to enhance the ability of these drugs to interrupt checkpoint protein interaction with the respective ligand receptor which eventually lead to reactivation of anti-tumor response . This wa 0.0343) . Similar 0.0343) ,102,103.The enthusiasm to carry out the outstanding results achieved in cancer management with ICI, has not been as successful as anticipated in glioblastoma trials. This was demonstrated in a pivotal phase III randomized controlled trial (CheckMate-143), which compared the safety and efficacy of nivolumab (PD-1 inhibitor) versus bevacizumab in patients with recurrent glioblastoma who were previously treated with TMZ and radiotherapy at initial diagnosis . This stOne of the factors that is proposed to contribute to the decreased response of ICI is its inability to reach tumor cells. This is of importance as the BBB allows passage of limited small size compounds less than 400 Da, whereas nivolumab and pembrolizumab have a molecular weight of 146 kDA and 149 kDa respectively ,108,109.Another factor that appears to be fundamental for the efficacy of ICI in treatment of glioblastoma is the timing of administration. Most of the trials to date have examined efficacy of ICI either in the recurrent setting or in first line setting in combination with concurrent chemoradiation after surgical resection of the tumor. Therefore, it was tempting to evaluate the use of ICI prior to surgery as they have demonstrated improved outcomes in the neo-adjuvant setting in different tumors such as breast cancer and melanoma . SeveralFurthermore, the potential role of ICI in the treatment of glioblastoma appears to be significant in specific subpopulations. For example, tumor mutation burden (TMB) and mismatch repair deficiency (MRD) reflect a state in which a tumor is loaded with a high number of mutated proteins and neoantigens given the defective DNA repair mechanisms. This can convert the tumor into a hotspot as a target for anti-tumor immunity mediated by ICI as higher number of immunogenic antigens are expected to elicit a strong immune response ,115. DesCurrent efforts are focused on combining ICI with different treatment modalities in glioblastoma such as the novel checkpoint inhibitors of LAG3 and TIM3 ,120. IntAdoptive cell therapy in cancer treatment relies on redirecting immune cells to engage with specific tumor antigens based on bioengineered chimeric antigen receptors expressed in autologous T cells . By targTherapeutic cancer vaccination relies on the method of inducing an anti-tumor immune response by selecting tumor-associated antigens or mutated peptides that are specific for cancer cells and are not universally expressed in healthy tissue. These candidate antigens are then either enhanced ex vivo or incubated in specific immune cells like dendritic cells and then reintroduced into the patient. By doing so, immunogenic tumor-associated antigens are hypothesized to initiate a tumor-specific immune response that can contribute to regression of malignant cells . The plaVaccine-based therapies using EGFRvIII have generated a lot of enthusiasm as extracellular mutations of EGFRvIII are commonly expressed in glioblastoma (approximately 20%) and are responsible for constitutive EGFR pathway activation . Early pWhile vaccines against EGFRvIII and IDH1 R132H target specifically malignant cells that express the mutant protein, vaccination using heat shock protein family can leverage a broader response targeting a variety of tumor antigens in glioblastoma which could mitigate the heterogeneous nature of the tumor as a resistance mechanism. This is hypothesized to be the result of the function of heat shock protein family in post translational protein processes and presentation of antigens on MHC class I . SeveralThe rationale of using DC vaccines stems from their unique characteristics as highly potent cells that have the capacity to present antigens. The presentation of antigens by DC leads to sensitization of na\u00efve T cells and priming of an anti-tumor immune response. The potential benefit of dendritic cell vaccination in newly diagnosed and recurrent glioblastoma has been illustrated in a systematic review that included a total of 403 patients and showed improved OS in patients with glioblastoma who received DC vaccines compared to historical average survival . A randoFinally, personalized vaccines using newly detected neoantigens is another promising avenue in glioblastoma research. This personalized vaccine approach is based on the fact that neoantigens are composed of immunogenic-mutated peptides that are the product of genomic disruption in glioblastoma cells and when expressed in the TME can lead to an anti-tumor response . For exaKey challenges remain when developing therapeutic glioblastoma vaccines including heterogeneity of glioblastoma as well as the immunosuppressive environment, which constitute a major hurdle given their direct dependency on antigen-specific derived immune response. The ongoing work evaluating variable vaccines in glioblastoma treatment should offer further insight.Oncolytic viral therapy in glioblastoma involves the intratumoral administration of genetically modified viruses that usually have neural tropism and an ability to selectively replicate inside malignant infected cells. The amplified replication of lytic viruses leads to the destruction of the target cell and further propagation of viral progeny in addition to intracellular molecules, which can induce and augment anti-tumor immune response ,151. SomThe advent of molecular targeted therapy has revamped cancer treatment since their introduction in early 2000. Their efficacy relies on targeting specific molecular alterations or their protein products which govern malignant cell growth and enhance the invasive nature of the tumor. Most of the targeted therapies are tyrosine kinase inhibitors (TKIs) that can prevent kinase phosphorylation which are implicated in cancer cell proliferation and angiogenesis . ConversFrequency of EGFR amplification is estimated to reach 40%, and in-frame deletions (EGFRvIII) in approximately 25% . The altThe presence of FGFR gene fusion was investigated as a target for therapy despite its low frequency (3.5%) in glioblastoma which is exclusive to IDH1/2 wild-type tumors . In the V600E mutation in glioblastoma (up to 3%), some subtypes of glioblastoma such as epithelioid glioblastoma show high frequency reaching 50% [V600E in melanoma, several anecdotal reports described rapid and durable anti-tumor response using inhibitors of this pathways such as BRAF and MEK inhibitors [Targeting the PI3K-AKT-mTOR pathway which is universally altered in glioblastoma has also been unsuccessful and showed no improved outcomes in both newly diagnosed and recurrent glioblastoma using PI3K inhibitors and mTOR inhibitors ,171,172.hing 50% ,174. Bashibitors ,176. A shibitors . NeverthFinally, other study groups attempted targeting receptors in the TME of glioblastoma which are not necessarily expressed on tumor cells such as VEGF and integrins. The trials using the anti-VEGF (bevacizumab) later led to its approval in the treatment of glioblastoma as described earlier in the introduction. Several trials evaluated the efficacy of several integrin inhibitors but failed to show any benefit of the addition of these targeted therapies and have been summarized in detail by Le Rhun et al. .Collectively, the failure of most targeted therapy trials to date in treatment of glioblastoma has resulted in the decline in the interest of targeted molecular therapy with the exception of novel molecular targets that are under active research . SupplemDespite the increased armamentarium of effective cancer therapeutics across multiple tumor types, management of glioblastoma continues to prove the unmet need for further research to develop new effective medication, which is echoed by the high number of clinical trials that are under way . Phase 3 randomized clinical trials are crucial for evaluating the role of novel therapies in glioblastoma despite the promising results of early phase clinical trials.Addressing the immunological landscape and the crosstalk between intracranial glioblastoma and the extracranial immune components appear to be of a high priority given that most of the concentration revolves around exploiting the immune system against glioblastoma. Achieving clarity on the utility of immunotherapy (ICI) up-front in the neo-adjuvant setting is promising but requires further validation in large prospective randomized trials. In addition, several proposed approaches have been suggested to overcome the immunosuppressive TME in glioblastoma and are currently under investigation inhibitors which induces synthetic lethality and leads to overload with defective DNA repair mechanisms appears to be promising. Preclinical studies suggest that PARP inhibition with drugs such as olaparib can increase neoantigen formation, lead to PD-L1 upregulation, boost type I Interferon signaling, and reprogram TME to facilitate anti-tumor response when using ICI . In addiUltimately, as immunotherapy continues to dominate the research arena in glioblastoma therapeutic development, it would be important to stratify patients based on their previous glucocorticoid use as most of the patients require to be on steroids which is implicated in suppression of the immune system and can counteract the effect of drugs targeting the immune system.The lack of drug approvals for the treatment of glioblastoma and the mild to modest improvement in survival in the past decade represent a growing need for well-designed research to develop effective therapeutics. The ongoing effort should consider the factors that are implicated in the resistance observed with these novel investigational therapeutics to further leverage our understanding and optimize our treatment approach. Immunotherapy holds a promise in glioblastoma despite the immunosuppressive nature of the tumor. Combination immunotherapy with other treatment modalities, investigational novel compounds, and innovative delivery modalities such as antibody\u2013drug conjugates, convection-enhanced delivery, and nanoparticles are currently under ongoing research which will address their safety and efficacy in glioblastoma. Further characterization of patients\u2019 tumor molecular profiles can help identify subpopulations who could derive a benefit from currently available treatments."}
+{"text": "Viruses have evolved to efficiently express their genes in host cells, which makes them ideally suited as gene delivery vectors for gene and immunotherapies. Replication competent (RC) viral vectors encoding foreign or self-proteins induce strong T-cell responses that can be used for the development of effective cancer treatments. Replication-defective (RD) viral vectors encoding self-proteins are non-immunogenic when introduced in a host na\u00efve for the cognate virus. RD viral vectors can be used to develop gene replacement therapies for genetic disorders and tolerization therapies for autoimmune diseases and allergies. Degenerative/inflammatory diseases are associated with chronic inflammation and immune responses that damage the tissues involved. These diseases therefore strongly resemble autoimmune diseases. This review deals with the use of RC and RD viral vectors for unraveling the pathogenesis of immune-related diseases and their application to the development of the next generation prophylactics and therapeutics for todays\u2019 major diseases. The inflammation stops and homeostasis is restored when all necroptotic and proinflammatory cellular components including the PAMPs or DAMPs are removed by cells of the innate immune system.Our immune system ensures homeostasis by protecting us from infection, malignant cell growth and by playing an important role in wound and tissue repair. Today\u2019s major human diseases coincide with aberrant immune responses: cancer patients lack effective immune responses to malignant cells, patients with autoimmune diseases have excessive immune responses to cells of a specific tissue or organ and allergies result from having undesired and exaggerated immune responses to harmless antigens. Innate immunity, involving macrophages, dendritic cells and granulocytes, is the first line of active immunity. Cells of the innate immune system are activated by pathogen-associated molecular patterns (PAMPs) released from infected cells or damage-associated molecular patterns (DAMPs) released from malignant or wounded cells. Additionally, DAMPs are released from damaged body cells as the result of ongoing metabolic and mechanical activity. When PAMPs or DAMPs are registered by innate immunity cells, inflammasomes assemble in the cytoplasm and a local inflammatory response is initiated.2 The lymphocyte population consists of clones, in which each clone bears a different receptor that recognizes a specific MHC-bound epitope. During homeostasis, lymphocytes are in tolerance mode. Peripheral immune tolerance is actively maintained by homeostatic interactions between our body cells, innate immunity cells and lymphocytes, wherein immune responses to self and foreign antigens are actively suppressed. Lymphocytes actively migrate to inflamed areas, locally break the immune tolerance in an antigen-specific manner and start to destroy infected, malignant or damaged cells. The destroyed and thus necroptotic cells further enhance innate and adaptive immune responses and speed-up the tissue repair process.3 After removal of the necroptotic cells by innate (and adaptive) immune cells, the inflammation stops and the immune tolerance toward self-antigens is restored. In addition, the tissue is repaired by a system of replenishment with new cells under the control of tissue-resident stem cells. These stem cells divide asymmetrically upon cell damage or hormonal signals, giving rise to new stem cells that maintain the capacity to divide and form progenitor cells programmed for terminal differentiation. The progenitor cells have the capacity to divide several times before they differentiate into mature terminal tissue cells that lack the capacity to further proliferate.4 Aging of body cells, including those of the immune system, increases the risk of aberrant immune responses that may result in the development of immune-related diseases. This occurs especially in individuals that carry mutations in genes associated with immunity, e.g. in individuals that are genetically predisposed to developing immune-related diseases.6When an infection is too widespread, the malignancy grows too fast or the wound is too big, the innate immunity cells recruit and activate a second line of immunity: the adaptive immune system. The adaptive immune system consists of two different sets of lymphocytes circulating in the blood and lymphatic system. B lymphocytes (B cells) secrete antibodies and are responsible for humoral immunity, whereas T lymphocytes (T cells) are capable of directly destroying damaged, malignant or infected cells and are responsible for cellular immunity. In contrast to the innate immune system that responds to PAMPs and DAMPs, lymphocytes respond to antigenic peptides (epitopes) derived from self or foreign proteins (antigens), bound to major histocompatibility complex (MHC) molecules in the presence of co-inhibitory or co-stimulatory molecules on the cellular membranes of all body cells.7 Wound healing is a beneficial process, but chronic self-sustaining wound healing is detrimental to the affected tissue and may result in the development of an autoimmune disease. In this process the primary targets of the chronically or repeatedly stimulated T cells, e.g. the primary self-antigens (pSAgs) are driving the pathogenesis and thus disease progression. Relatively late in the disease process when the affected tissue is chronically inflamed, secondary self-antigens presented in a proinflammatory context also become targeted by activated T cells. The gradual increase in the number of targeted self-antigens is named epitope spreading.8 In contrast to pSAgs that are produced exclusively in the tissue/organ affected by the autoimmune disease, secondary self-antigens usually are produced throughout the body. Degenerative/inflammatory diseases resemble autoimmune diseases in which a tissue/organ is damaged by sustained or flaring T cell responses directed to tissue-specific pSAgs. Autoimmune diseases are caused by either rare genetically determined cellular defects or much more frequently by environmental responses (the sporadic or idiopathic cases) in those genetically predisposed to the disease.8 The list of autoimmune diseases is rapidly growing beyond the established \u2018classic\u2019 autoimmune diseases such as diabetes mellitus type 1 (DM1), arthritis and multiple sclerosis (MS) to encompass other even more important diseases. These diseases include neurodegenerative diseases such as Alzheimer\u2019s dementia (AD) and Parkinson disease (PD), psychiatric diseases such as schizophrenia, and depression, and certain metabolic diseases such as obesity and diabetes mellitus type 2 (DM2), chronic obstructive pulmonary disease (COPD), inflammatory bowel diseases (IBD), atherosclerotic cardiovascular disease (ACD) and many more.8\u201314In the case that a repair response remains active because the immune tolerance is not restored in a timely manner, the process becomes self-sustaining and chronic.16To date, autoimmune diseases have no approved cures and for most of them symptomatic or disease masking treatments are the only therapies available. Disease-specific inhibition of the destructive immune response would be the ultimate solution for this group of diseases as it leaves the patient\u2019s immune system intact. This can be achieved by tolerization, in which the immune response to the pSAg of the disease is reversed into a pSAg-specific immune tolerance response. Restoration of the immune tolerance to the pSAgs of autoimmune diseases will stop the tissue destruction by the antigen specific T cells and halt disease progression. This has been attempted by administration of purified disease-specific pSAgs or derived peptide fragments to patients. However, naked proteins or peptides are rapidly degraded in the body. Linkage of peptides to nanoparticles to improve their stability results in a transient therapeutic effect with a narrow spectrum of activity. It remains questionable whether this therapeutic activity in mice can be repeated in clinical settings.8 In patients with an autoimmune disease it is almost impossible to identify the pSAgs of the disease, since the characteristic disease symptoms resulting from the tissue damage manifest often years after the onset of the sustained destructive immune responses. Furthermore, it is difficult if not impossible for most of the diseases to obtain samples of the chronically inflamed tissue needed to characterize the immune responses, this is especially the case for neurodegenerative diseases for which, in most cases, accurate diagnosis can only be confirmed post mortem. For these reasons, most efforts to identify the pSAg of an autoimmune disease have been dedicated to characterizing antibody responses in patients with the disease.17 These studies have revealed the presence of a plethora of auto-antibodies in the serum of patients that, with a few exceptions, bind to intracellular components including enzymes that are released in the blood after cell destruction. The extracellular enzymatic activity may result in the accumulation of modified and immunogenic protein deposits in the inflamed tissues, providing a new source of antibody antigens.18 Because the studies are performed with blood or tissue samples from patients that have had the disease for a long time, most of the identified antibody targets represent secondary self-antigens, which severely challenges our ability to uncover the pSAg of the disease.In order to develop effective antigen-specific treatments for autoimmune diseases we need to know the disease specific pSAgs. Our knowledge on the immunology of most of the newly identified autoimmune diseases is fragmented and for most autoimmune diseases only candidate pSAgs are known.20 However, intramuscular pSAg expression from expression plasmids does not result in the development of disease symptoms for most of the autoimmune diseases. To develop effective treatments for autoimmune diseases, more detailed knowledge is needed of the pathogenesis of specific diseases followed by identification of the pSAgs. These objectives can only be met by studying pathogenic processes using animal models of autoimmune diseases. Since most of the autoimmune diseases are sporadic, inducible animal disease models are preferred above wild type or monogenetic animal models.The role of humoral responses in the development of autoimmunity has remained unclear. For most if not all autoimmune diseases the pathogenesis is driven by T cell responses to pSAgs. The causal relationship between chronic T cell activation directed to the pSAg of a disease and the disease symptoms has been demonstrated in experimentally induced animal models. Studies using these inducible animal models revealed that the pSAg of an autoimmune disease is predominantly or exclusively expressed in the affected tissue and that all patients have a T cell response to it. In addition, induction of a T cell response to the pSAg in an animal by vaccination results in the development of the disease. To date, the vaccination-based autoimmune disease models rely on subcutaneous or intramuscular administration of animals with purified self-antigen or peptides derived together with a complete Freund\u2019s adjuvant (CFA). This method is expensive, labor-intensive and the life-long presence of CFA in the body of the injected animals complicates the subsequent testing of interventions to the disease in the symptomatic animals. Some autoimmune diseases can be induced in mice by intramuscular administration of an expression plasmid encoding the pSAg of the disease.21 TLR activation (before replication) usually results in the induction of B cell-mediated antibody responses to viral antigens. For this reason vaccines consisting of non-replicating adjuvated viral structural proteins are able to transiently protect vaccinated individuals from infection by the cognate virus. Vaccination with empty viral capsids or purified viral structural proteins lacking an adjuvant usually are non-immunogenic in vivo. Fully RD viral gene delivery vectors are considered to be harmless components by the immune system and are therefore non-immunogenic when injected in hosts that are na\u00efve for the cognate virus. RLR activation (after replication) is a much stronger proinflammatory signal and results in the induction of predominantly T cell responses to viral antigens. This is the reason why RC attenuated virus strains are extensively used as prophylactic vaccines to provide usually life-long protection to reinfection by the homologous wildtype virus.22Since viruses evolved to deliver and express their genetic information in host target cells, viral vectors are by far the most effective gene delivery vehicles to express self or foreign proteins in vivo see . Hosts oex vivo gene replacement therapy to treat blood-related genetic disorders and cancer .22 The genomes of AAV vectors remain as stable episomes in the nuclei of transduced target cells and AAV vectors are mainly used for in vivo gene therapies. Similar to LV vectors the first AAV-based gene therapies have now reached the market.23 The preclinical studies using animal models of genetic disorders revealed that AAV-mediated transgene expression in the muscle is associated with immunity to the transgene protein, whereas that in the liver of animals results in the induction of immune tolerance to the transgene protein.25 The tolerogenic potential of RD AAV vectors in animals na\u00efve for the cognate virus is crucial for establishing stable and long term transgene expression in the liver.26 For the best-studied autoimmune disease animal models it has been shown that RD viral vector-mediated expression of the pSAg of the disease in the liver both protects and cures the treated animals from the autoimmune disease.27\u201329 The preclinical AAV-based gene replacement and tolerization studies in animals demonstrated that RD viral vector-mediated tolerization has an enormous potential for effectively treating patients with autoimmune diseases.30 However, nobody at that time realized that the animal species used in the AAV studies, such as mouse, rat and dog are immunologically na\u00efve for AAV, which is a primarily human virus that co-replicates with adenoviruses: the causal agents of the common cold. Almost the entire human population has been exposed to AAV and developed a strong immune memory for the viral capsid proteins.32 Numerous clinical studies using recombinant AAV vectors indeed confirmed that administration of vector particles elicits innate and adaptive immune responses against the viral and transgene-encoded proteins in the majority of treated patients. The immune responses lead to elimination of the transduced cells from the body and decreasing expression levels of the therapeutic transgenes over time, compromising re-administration of the vector.33 AAV\u2019s immunogenicity in humans, and as a result its clinical inefficacy, will remain the major challenge for the development and approval of new AAV vector-based interventions. Furthermore, the immunogenicity of AAV vectors in humans is the main reason why tolerization using an RD viral vector has not been tested in the clinic so far. Overall, in order to develop effective in vivo gene replacement therapies and to efficiently restore immune tolerance in patients with an autoimmune disease, a new non-immunogenic viral gene delivery vector is needed.Among the RD viral vector systems currently used for gene therapy, lentiviral (LV) vectors derived from the human immunodeficiency virus type 1 and adeno-associated viral (AAV) vectors derived from adeno-associated virus are the most popular. For both vectors it has been shown that they are non-immunogenic or tolerogenic in hosts that are na\u00efve to the cognate virus. LV vectors permanently modify transduced target cells by integrating their viral genomes randomly into the host genome. LV vectors are mainly used for 35 Because humans can be considered naive to SV40, it is expected that RD SV40 vectors are non-immunogenic or tolerogenic when applied in humans. The lack of immunogenicity in humans and capacity to induce immune tolerance to transgene proteins render SV40 vectors highly attractive for use in gene replacement and tolerization therapies to treat genetic disorders and autoimmune diseases.36RD simian virus 40 (SV40) vectors are an attractive alternative to AAV vectors for clinical gene therapy. SV40 is a polyomavirus that strictly replicates in its natural host, macaques, where it causes chronic asymptomatic infections. SV40 has a 5.25kb long circular double-stranded DNA genome that encodes two genes. The early gene encodes two non-structural replication-associated proteins Small T antigen (STag) and Large T antigen (LTag). The late gene codes for the structural viral proteins VP1, VP2 and VP3. RD SV40 vectors have thus far been generated by deleting the coding region of the early gene. SV40 particles enter infected cells via the caveolar-endosomal route, but in contrast to other viral vectors are able to avoid lysosomal degradation, thereby evading exposure to the host immune system.37 Such derailed or malignant cells secrete DAMPs that activate innate immunity cells. The activated innate immunity cells destroy the malignant cells, eventually with help from activated T cells that target self-antigens specific for the malignant cells, named primary tumor-associated antigens (TAAs), present on the cellular membranes of the tumor cells.38 TAAs are usually encoded by genes expressed early during embryogenesis, in differentiated tissue cells or by genes overexpressed in the tumor.39 Malignant cells that are capable of escaping from this stringent immune surveillance further proliferate and undergo genetic and epigenetic changes that result in the expression of a range of secondary tumor-associated neo-antigens (TANAs).40 Under the pressure of this immune selection, the malignancies induce strong immune tolerance responses to the TAAs and TANAs and rapidly evolve into immune-tolerated tumors. Under the same selection pressure, genetic and epigenetic changes are responsible for tumors to become resistant to cancer treatments.41 Immune-tolerated (and treatment-resistant) tumors have the capacity to expand and metastasize, eventually becoming lethal to the patient.42 In patients with autoimmune diseases or chronic virus infections the risk is increased that immune-tolerated tumors emerge in the chronically inflamed tissues/organs compared to that in healthy individuals.43 This phenomenon adds to the worldwide growing incidence of immune-related diseases over the last decades.During tissue repair, mutations occur in the genome of dividing (stem and progenitor) cells. Most of these somatic mutations are silent and do not affect cellular functionality. These mutant cells are tolerated by the immune system. However, cells with mutations in oncogenes or tumor suppressor genes that inhibit cell death or cell cycle arrest gain the capacity to divide in an uncontrolled manner.44\u201346To date many cancers are effectively treated by surgical removal combined with radio and/or chemotherapy to clear the body of all tumor cells. Chemotherapeutics act relatively non- specifically by targeting rapidly dividing cells and their systemic use is therefore associated with severe side effects. Therapeutic antibodies binding TAAs or immune tolerance promoting (co-inhibitory) molecules on the surface of tumor cells represent a remarkable breakthrough in cancer medicine. However, these immunotherapies are effective in only certain subsets of patients and many patients who initially respond eventually relapse via antigenic escape via antigenic escape.48For many rapidly metastasizing cancers, effective treatments have not become available creating a strong unmet medical need. Because of its potential safety, specificity, and long-lasting response, therapeutic cancer vaccination is an attractive method to completely clear the body of all tumor cells. Effective vaccines need to break the immune tolerance to the TAAs or TANAs. Therefore, strong PAMPs and/or DAMPs named adjuvants, co-stimulation and repeated vaccination schedules have been used to amplify the activation and expansion of tumor antigen-reactive T cells. Cancer vaccines consisting of TAA- or TANA-derived peptides supplemented with strong adjuvants or DNA/RNA molecules expressing tumor antigens have shown limited efficacy in clinical studies, just as cellular vaccines consisting of living or inactivated tumor cells, dendritic cells loaded with TAAs or microorganisms expressing TAAs. Apparently, these vaccines are not potent enough to break the immune tolerance to tumor antigens.49 However, several limitations prevent the use of most naturally occurring viruses for oncolytic virotherapy. Many of them are immunogenic and usually rapidly inactivated/removed from the body by the patients\u2019 immune system. Moreover, oncolytic viruses have a limited capacity to induce tumor-directed T cell responses. In order to generate oncolytic viral strains with superior clinical efficacy oncolytic RC viral vectors were generated that encode immune-stimulatory proteins or proteins that lure the immune response to tumors instead of the vector.50 Despite such enhancements, the induced T cell responses are generally not strong enough to break the immune tolerance to the tumor-antigens.Many viruses have a preference for infecting rapidly dividing cells. Oncolytic viruses are oncotropic nonpathogenic viral strains that preferentially kill (rapidly dividing) malignant cells. Adeno-, herpes-, reo-, retro-, picorna-, rhabdo-, paramyxo-, parvo-, poxviral strains have been extensively tested for their capacity to selectively destroy tumor cells.51 LV vector-based T cell therapies targeting self-proteins may therefore cause autoimmune diseases. This problem can be solved by using RD viral vectors that do not integrate in the genome but remain in the nuclei of transduced T cells as stable episomes. It is expected that after a number of cell divisions the tumor cells have been removed, whereas the CAR-T-expressing vector molecules will dilute-out and the development of autoimmune disease symptoms will be prevented .LV vectors expressing tumor-specific T cell receptors (TCRs) or chimeric antigen receptors (CARs) that combine the properties of T cell receptors with the specificity of antibodies are used to transduce T cells isolated from the blood of cancer patients. The transduced T cells are re-infused in the blood stream of the autologous patients, where they bind and subsequently destroy cancer cells. To date, CAR T cell therapies specific for B cell surface molecules have reached the market for the treatment of B cell leukemias and lymphomas. Although highly successful, a major disadvantage of using LV vectors for T cell therapies is that the CAR-positive T cells remain permanently in the bloodstream of treated patients, continuously removing body cells that express tumor antigens at their surface.52 These experiments clearly demonstrate that TRP-2 is a relevant melanoma TAA and the pSAg of vitiligo, implying that anti-tumor immune responses and autoimmune responses are identical processes.53 RC viral vectors encoding a tumor antigen effectively break the immune tolerance to the antigen and thereby induce tumor destruction by activated T cells, whereas those encoding a pSAg of an autoimmune disease effectively induce autoimmune disease symptoms. Vaccines based on RC and thus self-adjuvating viral vectors have been shown to be highly effective in inducing cellular immune responses in vaccinated animals.54 The best studied tumor antigen-encoding RC viral vectors for use as cancer vaccines are derived from adeno-, herpes- and poxviruses. These viruses have large double-stranded DNA genomes and their RC vector derivatives encoding tumor antigens express many viral proteins in transduced cells. As a consequence, a major part of the induced T cell responses is directed to viral proteins and not to the tumor antigens. Upon introduction in a host the vectors are rapidly inactivated by T cells and repeat vaccination will not enhance the anti-tumor antigen immune response.55 To overcome this limitation, prime-boost vaccination schemes have been used where a tumor antigen is delivered with one RC viral vector first, followed by a boost with the same tumor antigen delivered by a different viral vector or other therapeutic . Unfortunately, to date cancer vaccines involving RC adeno-, herpes- and poxviral vectors are not powerful enough to break the immune tolerance to tumor cells.56\u201358It has been reported that RC viral vectors encoding tyrosinase TRP-2, one of the melanoma TAA\u2019s is capable of breaking the immune tolerance to the TAA, thereby inducing melanoma destruction in mice. Simultaneously, the induced T cell response to TRP-2, but not those to other melanoma TAA\u2019s, induces the development of vitiligo, an autoimmune skin depigmentation disease.59 SFV- or VEEV-based Alphaviral vector particles encoding TAAs including the human papillomavirus E6,7 non-structural protein, the prostate specific membrane antigen PSMA or HER2/neu have been tested in clinical studies. These studies revealed that RC Alphaviral vector vaccines induce cellular cytotoxicity against tumor cells coinciding with longer overall survival of the treated patients.60\u201362 To further enhance the therapeutic potential of RC Alphaviral vector vaccines, prime boost vaccination schemes combining different Alphaviral vectors encoding the same tumor antigen could be applied.RC vectors derived from RNA viruses, in particular those which lack the coding capacity for the viral structural proteins are attractive alternative cancer vaccine carriers to prevent anti-vector immunity. In this respect Alphaviruses, including Semliki Forest virus (SFV), Sindbis virus (SINV) and Venezuelan equine encephalitis virus (VEEV), meet these prerequisites. Alphaviruses have single stranded RNA genomes harboring two coding domains or cistrons. The first cistron is translated from the genomic RNA and encodes the non-structural proteins involved in viral RNA replication and transcription. The second downstream cistron is translated from a sub-genomic RNA that is transcribed from a sub-genomic promoter by the viral non-structural proteins and encodes the structural proteins. Expression plasmids have been generated that encode RC Alphaviral RNAs in which the second cistron is replaced by a gene-of-interest. Intradermal or intramuscular administration in animals with plasmid-based RC Alphaviral vectors results in the induction of strong T cell responses to the transgene proteins, while anti-vector immune responses are limited. Vaccination studies with plasmid-based Alphaviral vectors encoding TAAs have successfully demonstrated tumor regression and protection against challenges with tumor cells in animal tumor models.Besides being highly promising cancer vaccine carriers, RC Alphaviral vectors are well suited to identify pSAgs of autoimmune diseases and to develop reliable inducible animal models for this group of diseases. The coding sequences of these proteins can be inserted in RC Alphaviral vector plasmids an can be directly administered with the recombinant plasmid DNA into mice. This fast and convenient method to induce autoimmune disease symptoms in mice will lay the foundation to increase our knowledge of the pathogenesis of autoimmune diseases and will serve as the starting point for developing effective therapeutic interventions.The major diseases of our time, including cancer, autoimmune diseases and allergies are caused by aberrant immune responses to self or non-self components. With our rapidly increasing knowledge of gene therapy, vaccinology, virology and immunology we now have RC and RD viral vector tools available to effectively address immune-related diseases. These vector systems are perfectly suited to unraveling the pathogenesis of immune-related diseases and developing the next generation of prophylactics and therapeutics to combat this cluster of diseases with a high impact on our society.In the next few years further research using RC Alphaviral vectors that effectively break the immune tolerance to self-antigens of autoimmune diseases will result in the development of inducible animal models for human autoimmune diseases. Such animal models will be highly useful for studying the disease pathogenesis and testing novel prophylactics and therapeutics. Moreover, RC Alphaviral vectors expressing TAAs or TANAs have the potential to serve as effective cancer vaccines. Within five years from now it is expected that new Alphaviral vector-based cancer vaccination approaches will be tested for safety and efficacy in clinical settings. Because of their lack of immunogenicity and capacity to induce immune tolerance to transgene proteins in humans, RD SV40 vectors are well positioned to become the viral vector system of choice for developing effective gene replacement and immunotherapies to treat genetic disorders, autoimmune diseases and allergies. To date, SV40 vectors have not been tested in clinical studies. Considering the potential of this vector system a clinical study of an SV40-based therapeutic is highly desired to demonstrate the safety and efficacy of this vector system in humans.63 In order to keep the health care expenditure sustainable, we desperately need effective and preferably curative treatments for the main chronic age- and immune-related diseases including cancer and autoimmune diseases. Recent developments in gene therapy and vaccinology have opened the way to develop effective treatments for this seemingly incurable group of diseases. Powerful viral gene delivery vectors have recently become available that have the potential to generate the platforms of a whole new generation of medicines based on their high efficacy to induce or suppress immune responses against self and foreign proteins. RC Alphaviral vectors can be used to develop effective immunotherapies for cancer, whereas RD SV40 vectors can be employed in tolerization therapies for autoimmune diseases including neurodegenerative & psychiatric diseases, ACD, obesity, diabetes mellitus, arthritis, COPD and many other inflammatory diseases. As an important first step in the development of effective tolerization strategies the pSAgs of individual autoimmune indications need to be identified. Together, Alphaviral and SV40 vector platforms have the potential to develop effective interventions for immune-related disease. Interventions that will contribute significantly to the healthy aging concept and dramatically improve the life expectancy and quality of life of individual patients.It is predicted that with our aging population, health care costs will rise dramatically in the decades to come."}
+{"text": "The lung is the vital target organ of coronavirus disease 2019 (COVID-19) caused by infection with severe acute respiratory syndrome coronavirus 2 (SARS-CoV-2). In the majority of patients the most active virus replication seems to be found in the upper respiratory tract, severe cases however suffer from SARS-like disease associated with virus replication in lung tissues. Due to the current lack of suitable anti-viral drugs the induction of protective immunity such as neutralizing antibodies in the lung is the key aim of the only alternative approach\u2014the development and application of SARS-CoV-2 vaccines. However, past experience from experimental animals, livestock, and humans showed that induction of immunity in the lung is limited following application of vaccines at peripheral sides such as skin or muscles. Based on several considerations we therefore propose here to consider the application of a Modified Vaccinia virus Ankara (MVA)-based vaccine to mucosal surfaces of the respiratory tract as a favorable approach to combat COVID-19. Like skin and intestinal tract the lung stays in close contact with the living environment and is therefore potentially exposed to air-borne pathogens including SARS-CoV-2. However, in contrast to skin and intestine that harbor large amounts of effector immune cells and lymphoid tissues, the non-inflamed lung is largely devoid of both components rendering this organ particularly vulnerable for airborne infections.Several subsets of immune cells populate the skin. Antigen-presenting Langerhans cells reside in the epidermis while dendritic cells, macrophages, and various populations of T cells occupy the dermis . LikewisLungs of healthy adults however are largely devoid of lymphoid structures and immune cells are sparsely found in the mucosal layers lining the trachea and the bronchial tree, in the alveolar space but not in the alveolar interstitium. Adaptive immune responses of the lung are primarily initiated and maintained in bronchial and mediastinal lymph nodes that drain the lung but usually not within the lung tissue . FurtherInterestingly, children and adolescents\u2014but not healthy adults\u2014frequently harbor tertiary lymphoid tissue structures within the lung . These aMVA is a highly attenuated orthopoxvirus that was growth adapted to avian cells and lost its ability to replicate in mammalian hosts. Historically, it had been safety tested in more than 100,000 persons during the smallpox eradication campaign in Germany in the 1970s. Today, MVA serves as basis for licensed vaccines against smallpox and monkeypox in Europe, Canada and the United States . Recent During the last decade we studied extensively the ability of MVA to induce BALT and subsequent immune responses in mice. The single intranasal application of MVA in mice induced long lasting formation of BALT within 6\u20138 days. Extensive immunological characterization, including two-photon microscopy, revealed that MVA-induced BALT acts as a general priming site for T cells against antigens that reach the lower respiratory tract. Furthermore, following intranasal but not intramuscular application, MVA led to the accumulation of activated CD8 effector T cells in the lung . Due to + plasma cells per mm2 tissue section this value increased 87-fold to 34.7 IgA+ plasma cells/mm2 in MVA-treated mice (Arguably, the induction of plasma cells secreting neutralizing antibodies of the IgA isotype would be most suited to prevent air-borne lung infections. We therefore studied to what degree intranasal application of MVA led to induction of IgA plasma cells in the lung. To that end mice received a single dose of MVA or were left untreated. Twelve days later lungs were analyzed by histology for the presence of BALT as well as plasma cells. While untreated mice carried on average 0.4 IgAted mice . AlthougThese findings are in agreement with observations of others identifying ovalbumin-specific IgA antibodies in the bronchoalveolar lavage fluid in mice intranasally immunized with MVA expressing ovalbumin . Others The profound production of lymphoid tissue that acts as a priming side for immune responses in the lung including induction of T cells as well as IgA-secreting plasma cells renders the local application of MVA encoding the SARS-CoV-2 spike protein a promising approach for preclinical and clinical studies aiming at the prevention of COVID-19.All datasets generated for this study are included in the article/supplementary material.This animal study was reviewed and approved by Nieders\u00e4chsisches Landesamt f\u00fcr Verbraucherschutz und Lebensmittelsicherheit, LAVES.HF conducted the research. RF conceived the study and analyzed the data. RF and GS wrote the manuscript. All authors contributed to the article and approved the submitted version.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "COVID-19 is a new disease of pandemic proportions. Since the announcement of the first confirmed case of COVID-19 in Cameroon early this year, there has been an increasing number of circulating videos and messages from families about the poor management of their loved ones in clinical care settings. This correspondence highlights the challenges posed by COVID-19 and its impact on clinical care of patients in Cameroon. Since the announcement of the first confirmed case of COVID-19 in Cameroon early this year, there has been an increasing number of circulating videos and messages from families about the poor management of their loved ones in clinical care settings around the country. This has brought about untold suffering to both patients and their families. Patients leave their homes for the hospital generally under very uncomfortable circumstances. This can be due to an acute, sub-acute or chronic condition. When these patients approach a clinician or medical facility, they expect medical treatment and care given with all the knowledge and skill that will bring relief to their problem. The relationship takes the shape of a tacit contract based on good faith retaining the essential elements of tort . CamerooMany health facilities providing clinical care in Cameroon are challenged with insufficient availability of basic protective materials for health personnel and the human resource capacity to adequately tackle COVID-19. The lack of essential personal protective equipment such as the N95 or surgical facemasks, fluid resistant long-sleeve gowns, goggles recommended for clinicians are rarely available even in referral hospitals. The lack of specialist clinicians, technological and infrastructural resources to support health care providers during this period especially on issues of COVID-19 is challenging. Many health facilities lack the proper management systems to aid clinicians conduct proper triage and manage suspected cases effectively. This is further compounded by the lack of willingness and or potential to provide adequate trainings to aid in the process. Also, many health facilities in Cameroon are faced with serious challenges of setting up conducive pre-isolation and isolation centres making quarantine of suspected and confirmed cases respectively difficult with very poor compliance and poor outcomes for severe cases. It is generally accepted in clinical medicine that early intervention reduces complications and cost. Suspected COVID-19 cases should be validated by a laboratory test. Currently in Cameroon the nucleic acid amplification test (NAAT): the real time-polymerase chain reaction (RT-PCR) test is being used alongside the recent introduction of the rapid diagnostic test (RDT). Despite the accuracy/specificity of the former, it is quite labour-intensive requiring experts with a long turnaround time from sample collection to test result availability at the point of care . RT-PCR Clinicians and patients suffer the consequences of the aforementioned challenges. While clinicians are obligatorily expected to constantly be protected from becoming infected , there is increasing fear amongst them of contracting COVID-19 in clinical settings. Clinicians are afraid of being exposed for long periods in taking histories and examining patients who present with symptoms suggestive of COVID-19 and following these suspects in pre-isolation units because of the lack of the necessary personal protective equipment for themselves. The long diagnostic delays of COVID-19 infection equally heighten these fears among clinicians providing care during this period. The consequences of the present situation also affect the majority of patients using clinical facilities during this period in one way or the other. With a growing paranoid attitude among clinicians, patients presenting with episodes of cough and/or fever are easily over suspected as having Covid- 19 without a proper clinical examination. Patients are not well interrogated and examined before a diagnosis is suspected or made given the non-specific aspect of the clinical features of COVID-19. As such patients presenting with other well-known common pulmonary diseases are not diagnosed correctly. Development of complications and even fatal outcomes for non COVID-19 cases is on the rise. Over diagnosis of Coivid-19 suspects also leads to some problems. Many are kept for long periods in the pre-isolation unit while awaiting results of the diagnostic tests; a situation which can lead to profound psychological stress for these suspects. Mixing of potentially real COVID-19 cases and non-cases in these units which are generally poorly constructed and overcrowded for prolonged periods can also lead to the spread of the disease to non Covid- 19 cases. Delays in establishing COVID-19 diagnosis also slow down interventions to trace potential contacts for isolation and quarantine measures; this can lead to the further spread of the disease. The management of such cases is often sub optimal until a confirmatory test result is available. Some of these conditions in combination with or without other existing co-morbidities may deteriorate very rapidly leading to respiratory failure with possible fatal outcomes. In the area of clinical case management of those with severe COVID-19 disease, a majority of the health facilities lack intensive care units (ICUs) and those that have, do not have adequate equipment and materials to cater for those who present with severe respiratory distress. Last but not the least, rehabilitation professionals are not mobilized to address the rehabilitation needs of the survivors of this disease. This may result in an increase in disabilities among the survivors of the disease.It is a well acknowledged fact that providing adequate health care globally during this period of the COVID-19 pandemic especially in developing countries is daunting. Several interrelated factors make it even more complex for the health personnel to arrive at an informed decision timely for optimal care of patients with or without COVID-19. Despite these challenges, clinicians are obliged to provide the best available care without compromise to all patients. It is imperative to acknowledge these challenges and consequences so as to develop strategies to improve on care in clinical settings during this period."}
+{"text": "Viral dissemination is a key mechanism responsible for persistence and disease following human cytomegalovirus (HCMV) infection. Monocytes play a pivotal role in viral dissemination to organ tissue during primary infection and following reactivation from latency. For example, during primary infection, infected monocytes migrate into tissues and differentiate into macrophages, which then become a source of viral replication. In addition, because differentiated macrophages can survive for months to years, they provide a potential persistent infection source in various organ systems. We broadly note that there are three phases to infection and differentiation of HCMV-infected monocytes: (1) Virus enters and traffics to the nucleus through a virus receptor ligand engagement event that activates a unique signalsome that initiates the monocyte-to-macrophage differentiation process. (2) Following initial infection, HCMV undergoes a \u201cquiescence-like state\u201d in monocytes lasting for several weeks and promotes monocyte differentiation into macrophages. While, the initial event is triggered by the receptor-ligand engagement, the long-term cellular activation is maintained by chronic viral-mediated signaling events. (3) Once HCMV infected monocytes differentiate into macrophages, the expression of immediate early viral (IE) genes is detectable, followed by viral replication and long term infectious viral particles release. Herein, we review the detailed mechanisms of each phase during infection and differentiation into macrophages and discuss the biological significance of the differentiation of monocytes in the pathogenesis of HCMV. HCMV is a global infectious pathogen with 56\u201394% seroprevalence in adults worldwide , the virus establishes a latent infection K and other signaling pathways independent manner such as Toll-like receptors (TLRs) or the various intracellular biosensors such as Retinoic Acid Inducible Gene I (RIG-I), cyclic GMP-AMP synthase (cGAS), and Stimulator of Interferon Gene (STING) - like molecule, that is homologous to CD229, the signaling lymphocyte-activation molecule (SLAM) which is involved in leukocyte activation (MacManiman et al., in vitro primary infected monocytes expressed CD68 and HLA-DR (Smith et al., The replication of HCMV in primary infected myeloid cells is closely related to their differentiation status (Chan et al., in vivo, we need to define how HCMV controls specific points of differentiation using ex vivo or equivalent systems in order to better define mechanism involved and what the ideal virally infected long-term macrophage really \u201clooks like.\u201d Even though these questions are difficult to answer, these results would provide a new point for discussion of HCMV pathogenesis during primary infection and reactivation and the information would help promote the development of new drug targets that could be used to alleviate disease in immunocompromised patients.A distinct combination of viral and cellular mechanisms orchestrates the differentiation of HCMV-infected myeloid cells. This differentiation of monocytes into tissue macrophages is a required step both in primary infection and in reactivating virus in monocytes. Since previous studies elucidated some of the responsible factors for the differentiation using advanced techniques and diverse models, we now need to focus on the specific factors driving the molecular and biological processes with an attention toward identifying the steps that could be blocked to mitigate disease. We also need to better characterize the differentiated macrophage in order to understand how HCMV manipulates the immune system of the host. Since monocytes differentiate into a diverse array of macrophages via various environmental factors All authors listed have made a substantial, direct and intellectual contribution to the work, and approved it for publication.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "N-methyl-D-aspartate receptors (NMDAR) play a key role in brain development and function, including contributing to the pathogenesis of many neurological disorders. Immunization against the GluN1 subunit of the NMDAR and the production of GluN1 antibodies is associated with neuroprotective and seizure-protective effects in rodent models of stroke and epilepsy, respectively. Whilst these data suggest the potential for the development of GluN1 antibody therapy, paradoxically GluN1 autoantibodies in humans are associated with the pathogenesis of the autoimmune disease anti-NMDA receptor encephalitis. This review discusses possible reasons for the differential effects of GluN1 antibodies on NMDAR physiology that could contribute to these phenotypes. Antibody-based immunotherapies form a key component of the pharmacological arsenal for treatment of cancer , and infThe potential of antibodies to modulate the function of other molecular targets in the central nervous system (CNS) for therapeutic benefit has not been extensively investigated. In this review, I will provide an overview of our studies and those of others exploring the possibility of an immunoprotective approach for neurological diseases including stroke and epilepsy involving antibody-mediated targeting of the N-methyl-D-aspartate (NMDAR) subclass of glutamate receptor.The NMDAR plays a pivotal role in brain development, neuronal survival, and synaptic plasticity associated with learning and memory. The receptor is a hetero-tetramer composed of two obligatory GluN1 subunits of which there are eight distinct splice variants, and two variable subunits from the GluN2 (GluN2A-2D) or GluN3 (GluN3A-3B) subunit families. The combination of GluN1 with different GluN2/3 family members provides for the creation of diverse NMDAR subtypes varying in their regional distribution and functional properties. The majority of native NMDAR are triheteromeric, with GluN1/GluN2A/GluN2B receptors being the most common subtype in forebrain excitatory neurons .The subunits are transmembrane-spanning and arranged to form an ion channel pore that is gated in a ligand- and voltage-dependent manner. The extracellular regions of the receptor resembling two clamshell structures with binding sites for glutamate on the GluN2 subunit and sites for glycine binding on the GluN1 subunit. The interaction between the distal amino terminal domain (ATD) of the receptor and other proteins regulate subtype-specific receptor assembly and receptor trafficking and sites for allosteric modulation of NMDAR function are also found in the ATD. The cytoplasmic C-terminus domain engages in interactions with scaffold proteins and intracellular messenger systems in the postsynaptic density.The importance of NMDAR in the maintenance of physiological brain function is underpinned by observations that NMDAR-mediated hypofunction caused by either receptor loss, or altered distribution at synapses, is implicated in neurodevelopmental (autism spectrum disorders) and neurWe previously described an immunotherapeutic approach for stroke and epilepsy involving targeted vaccination against the GluN1 subunit of the NMDAR . Rats geOur studies suggest that a GluN1 immunotherapy could have broad utility for a range of neurodegenerative disorders but further mechanistic characterization is required to assess the feasibility and safety of such an approach. This is of critical importance as within the last decade, NMDAR autoantibodies targeting the GluN1 subunit have been linked to the pathogenesis of the autoimmune disease NMDAR encephalitis.Anti-NMDAR encephalitis is a devastating autoimmune condition characterized by the onset of psychiatric manifestations including psychosis, rapid memory loss and seizures and the presence of high-titer CSF autoantibodies of the IgG class against the GluN1 subunit \u201321. The Whilst the role of GluN1 autoantibodies in disease pathogenesis has been the key focus, more recently a mouse model of NMDAR encephalitis involving active immunization with intact native-like NMDAR GluN1/GluN2B tetramers embedded in a liposome scaffold has been described that recapitulates a broader range of features reminiscent of that found in the human disease . ImmunizThe pathogenic effects induced by patient antibodies contrast sharply to the protective benefit achieved in our studies in rodent models. Single amino acid substitutions at key residues within the extracellular regions of the GluN1 subunit can significantly affect channel permeability , so it iIn contrast, NMDAR patient autoantibodies recognize conformational epitopes at the GluN-ATD . ScreeniConversely, neuroprotection in mouse models of stroke and experimental autoimmune encephalitis can be produced using GluN1 antibodies that target the interaction site of the serine protease tissue plasminogen activator (tPA) at the ATD \u201337. GluNAltogether, these data suggest that NMDA receptor location, and function, can be differentially modulated by GluN1 antibodies in a target-dependent manner with GluN1 immunotherapeutic benefit made feasible through strategic targeting to defined sites. What are the challenges for applying such an approach, for example, as a preventative treatment against stroke-induced damage in humans?In preclinical studies, GluN1 antibodies generated following immunization of na\u00efve animals are presumed to be able to freely interact with their target site following passage into the brain. How the therapies would perform in humans with preexisting serum antibodies directed against the NMDAR that could directly compete for the same epitope targets (if present in sufficient quantities), is unknown. Serum GluN1 autoantibodies are found in healthy older adults and there is increased seroprevalence (>20%) in individuals affected by a wide-range of diseases including stroke, neuropsychiatric illnesses, and dementia \u201345, withGluN1 autoantibodies in stroke have been associated with larger as well There are many outstanding questions. Whether a GluN1 immunotherapy could counteract or override any possible pathogenic effects produced by GluN1 autoantibodies or help boost the neuroprotective capability of endogenous antibodies at multiple levels including modulating NMDAR signaling at neurons, maintaining BBB health, and function remains to be determined.Another key challenge is whether sufficient amounts of antibody as one of the key drawbacks of immunotherapies for CNS disorders is the low efficiency of delivery into the brain. The BBB strictly regulates the entry of molecules including therapeutics, immune cells, and immune mediators from the systemic circulation into and out of the brain. Osmotic or chemical disruption of BBB integrity can facilitate delivery of therapeutics into the brain but the lack of specificity for the therapeutic biologic agent is problematic. Alternative methodologies have exploited the properties of endogenous BBB receptor-mediated transporters responsible for the passage of endogenous large molecules such as insulin, transferrin, insulin-like growth factor, and leptin into the brain. These circulating proteins bind to their cognate receptors on the luminal surface of the endothelial cells lining the BBB. Upon binding, the receptor\u2013ligand complex is internalized into the endothelial cell by receptor-mediated endocytosis where the ligand molecule is transported across the abluminal membrane of the endothelial cell into the brain. Molecular Trojan horses that are engineered to carry peptides or proteins ligands that target receptor mediated transport systems or monoclonal antibodies that specifically target transferrin and insulin receptors have been shown to be effective in facilitating delivery of various therapeutic proteins into the brain , 51. ProDY wrote the paper and conceived this work.The author declares that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Research on traditional cardiac telemetry demonstrates that excessive alarms are related to lead failures and noise-related interruptions. Patch-based continuous cardiac rhythm monitoring (CCRM) has emerged in outpatient ambulatory monitoring situations as a means to improve recording fidelity. In this study, patients hospitalized but not in the intensive care unit were simultaneously monitored via telemetry in parallel with the use of the Vital Signs Patch\u2122 (VSP) CCRM system , applying standardized monitoring and notifications provided by an off-site central monitoring unit (CMU). Among 11 patients , there were 42 CMU detections and 98 VSP detections. The VSP device was successfully applied by nursing with connectivity established in all 11 patients (100%). There were no VSP device\u2013related adverse events or skin eruptions during the study. The CMU agreed with 59 (60%) of 98 VSP detections. Among those detections marked by disagreement 30 (77%) of 39 VSP detections were related to clinically meaningful arrhythmias undetected by VSP due to noise. In two patients (18%), there were four clinically meaningful atrial fibrillation detections not recorded by the CMU. In conclusion, patch-based CCRM requires further development and review to replace traditional cardiac telemetry monitoring but could evolve into an appropriate method to detect clinically meaningful events missed by traditional methods if noise issues can be mitigated. The fidelity of electrode connections has been identified as a major contributor to telemetry disruptions in previous studies.5 Patch-based continuous cardiac rhythm monitoring (CCRM) has emerged in the outpatient setting as a useful clinical tool for the quantification and surveillance of bradyarrhythmias and tachyarrhythmias.7 These patch-based CCRM devices have been studied in the outpatient setting as an alternative to traditional Holter monitoring and have emerged as feasible and patient-friendly options for the detection of clinically meaningful arrhythmias.9 The present study sought to evaluate the feasibility and usability of the Vital Signs Patch\u2122 (VSP) CCRM system in non-ICU\u2013hospitalized patients against the outcomes achieved with the current standard of conventional telemetry monitoring. The primary goal of this research was to elucidate early feasibility and usability characteristics of the aforementioned VSP device (including any skin-related adverse events) and to investigate its capacity to detect clinically meaningful arrhythmias while potentially decreasing the number of alarms due to telemetry interruptions by way of its novel skin fixation mechanism.Several hospital-based studies to date have demonstrated that routine electrocardiographic telemetry monitoring results in a high volume of alarms without immediate clinical relevance.4 The CMU is referred to as \u201csecondary\u201d monitoring because it does not replace \u201cprimary\u201d monitoring alarms in the form of audible alerts occurring at the nursing station, but rather aims to ensure that clinically important alarms are not missed by bedside nursing personnel. Pediatric patients, pregnant individuals, patients with internal or external defibrillators, patients with extensive skin damage or fresh surgical incisions on the chest, and patients in critical care areas were excluded from participation in this study. The present investigation followed the relevant institutional review board policies, and written informed consent was obtained from all patients. The initial single-center study plan called for a minimum of 10 patients receiving telemetry monitoring for the early feasibility and usability assessment, followed by a larger enrollment of 25 patients; however, this latter initiative was discontinued when the manufacturer discontinued the product as a result of evolving business considerations.Between August 2015 and December 2015, 11 non-ICU\u2013hospitalized patients underwent CCRM simultaneously with use of the VSP device and traditional telemetry systems in parallel, applying standardized monitoring criteria and notifications provided by a monitoring technician located at an off-site CMU to bedside nursing personnel using a previously published protocol.. The data from the VSP CCRM system were stored on the manufacturer\u2019s secure server on the premises of the Cleveland Clinic and under its firewall in compliance with institutional data security policies. After the end of the study, the raw data underwent technical review for report generation and were made available to the investigators for review. The report included the specifics of arrhythmia detection and raw ECG waveforms for every instance of detection by the VSP CCRM system. The investigators compared data from the CMU flow sheet, which contained the specifics of conventional telemetry detections and included raw ECG waveforms of every detection.The VSP device considered in this study was a United States Food and Drug Administration\u2013approved multichannel [three-lead electrocardiogram (ECG)] patch-based CCRM system. It is also designed to monitor and record blood saturation, body temperature, respiration, and blood pressure, but these parameters were not assessed in the present research 4 Each triggered event was either assigned a rhythm interpretation or designated as uninterpretable in the event of unacceptable noise or as a loss of ECG signal. A board-certified cardiac electrophysiologist was then provided blinded rhythm strips for final approval. Adjudicated interpretations of the VSP data and CMU interpretations were subsequently evaluated for agreement.The data from the VSP CCRM and the CMU using traditional telemetry were first aligned according to their timestamps and comparisons triggered by events detected on either platform were performed. For each triggered event, the rhythm strip was reviewed on both the triggered platform and the corresponding platform at the precise timestamp. The real-time CMU interpretation assigned by a monitoring technician utilized for clinical care was captured in the electronic medical record. An unblinded internal medicine resident physician acting as an investigator provided initial rhythm interpretation reads of the VSP detections as well as over-reads of the CMU detections, applying institutional standards.Table 1 shows the baseline clinical characteristics of the study cohort. The VSP device was successfully applied by nursing staff, with connectivity established in all 11 patients (100%). There were no VSP-related adverse events or skin eruptions that occurred during the period of the study. There were 42 triggered CMU detections and 98 triggered VSP detections . In all 42 CMU detections, the real-time interpretation assigned by the monitoring technician agreed with the over-read interpretation assigned by the resident physician investigator as well as the blinded electrophysiologist over-read.Eleven patients were monitored simultaneously via the VSP CCRM system and conventional cardiac telemetry monitoring using notifications provided by the CMU. . The overwhelming majority of those disagreements were related to VSP noise artifacts, while the on-site telemetry was recording interpretable waveform data . Accordingly, the telemetry captured normal sinus rhythm (13%), atrial arrhythmia (23%), ventricular arrhythmia (18%), and sinus bradycardia (36%) during VSP noise . Significantly, none of the above telemetry detections resulted in a CMU detection and notification. The CMU essentially learned to ignore baseline rhythm abnormalities with the help of feedback from the nursing staff. However, in 10% (four detections) of the discordance, the VSP recorded atrial arrhythmias that were not also detected by the CMU due to lead failure at the time of arrhythmia detection.Out of the 98 VSP detections, agreements were established between the VSP and the CMU in 59 (60%) of the detections. The CMU did not agree with 39 (40%) of the VSP detections . Most of the instances of discordance were related to the availability of interpretable CMU waveform data during VSP noise . The CMU detected ventricular arrhythmia , sinus bradycardia , and pause during VSP noise. The one remaining instance of CMU\u2013VSP discordance (8%) was related with a VSP recording of sinus rhythm during a loss of signal in the CMU as a result of lead failure.Out of the 42 CMU detections, there was discordance between the VSP and the CMU in the case of 13 (31%) 3 Furthermore, we determined that most of the discordance (90% of VSP discordance and 92% of CMU discordance) occurred because of VSP noise resulting in the loss of raw ECG data. Unfortunately, our study hypothesis was that the use of a patch-based skin fixation mechanism for ECG recording would improve the fidelity of waveform recording, not worsen it. However, the status quo of traditional telemetry monitoring again demonstrated a potential for improvement. In 10% of the VSP-triggered discordance, VSP-recorded atrial arrhythmias were missed by the CMU because of lead failure. Furthermore, in 8% of the CMU-triggered discordance, the VSP recorded normal sinus rhythm during lead failure. Thus, these preliminary findings suggest that a better patch monitor could potentially detect arrhythmia events missed by the status quo and also have recorded interpretable ECG data during the interruption of traditional telemetry detection.In this study, we sought to prospectively examine the feasibility and usability of the VSP CCRM system in non-ICU telemetry\u2013monitored hospitalized patients, which is a group largely composed of patients with established heart rhythm disturbances who had just undergone an ablation procedure or who were electively admitted for monitored initiation of antiarrhythmic drug therapy to assess safety and efficacy. At a high level, the use of a novel patch-based monitor was successfully applied by nursing in all cases with relatively easy adaptation into their workflow and without any patch-related adverse events such as skin eruptions. Such is encouraging for the potential of patch-based hospital monitoring given widespread adoption in outpatient ambulatory ECG monitoring. However, the number of VSP detections (n = 98) was more than twice the number of CMU detections (n = 42), which is relevant in the era of heightened patient safety concerns regarding alarm fatigue.8 comparing a 14-day monitoring protocol with the Zio patch and conventional 24-hour Holter monitoring in the outpatient setting, the former detected 57% more clinically significant events but was found to be less sensitive in the detection of events during the first 24 hours of dual monitoring, when the multilead Holter connections were still very robust. In our study, the number of VSP detections was higher than the number of CMU detections because the VSP detected baseline rhythm abnormalities that were not generally clinically meaningful. Meanwhile, the CMU employed reprogrammed patient-specific alarm thresholds as determined by the nursing staff to mitigate the number of unactionable alarms, which is a routine care protocol in our institution. For example, one of the study patients experienced an elevated burden of premature ventricular contractions (PVCs) at baseline that did not require clinical action. Communication between the nursing and the CMU had resulted in a higher patient-specific threshold of 20 PVCs/minute or more for the alarm, which resulted in a marked alarm reduction for the CMU as compared with the VSP system for that patient, which used its nominal settings. It should be noted that this reflects the standard workflow of the CMU and could perhaps be judged to be unfair to the VSP given the locked-in nature of its nominal settings. A similar patient-specific alarm parameter detection method could be applied to future-state patch monitors in the instance of live patient monitoring. Thus, this barrier could be easily overcome.To our knowledge, this is the first study to evaluate patch-based monitors in the inpatient setting. In a study by Barrett et al.Our study has several limitations that are important to bring up. The first limitation was the feasibility sample size. This study could be completed only in 11 patients instead of the proposed 25 patients because the VSP device was withdrawn from the market by the manufacturer. The second limitation is that the study was conducted in a single center, which limits the generalizability of its findings.The principal aim of assessing the early feasibility and usability of patch-based monitoring for non-ICU patients receiving telemetry monitoring was achieved, but the overall results were quite disappointing. The authors continue to see opportunities to challenge the gold standard of conventional cardiac telemetry monitoring. However, it is abundantly clear that patch-based CCRM requires further development and refinement to replace traditional cardiac telemetry monitoring, with a focus on better fidelity of ECG recording. Still, the technology could one day evolve to detect clinically meaningful events missed by traditional methods if noise issues are mitigated. With the ongoing novel advances in both the areas of hardware and software in wireless cardiac monitoring technology, we believe that an opportunity to improve the existing telemetry infrastructure exists. An ideal patch monitor should have a high degree of recording fidelity, allow for real-time analysis of ECG waveforms, and be patient- and nursing-friendly. As patch monitoring\u2013based technology continues to evolve, more large-scale trials are required to validate device safety, efficacy, and cost-effectiveness in relation to conventional monitoring."}
+{"text": "The Geriatric Anxiety Inventory (GAI) is a widely used self-report measure of anxiety symptoms in older adults. Although much research has been conducted on the psychometric properties of the GAI, previous reviews have examined only a small proportion of studies and have not evaluated the methodological quality of this work. In view of this, we conducted a systematic review of the psychometric properties of the GAI and it\u2019s short form (GAI-SF). Relevant studies (N = 31) were retrieved through a search of electronic databases and a hand search. The methodological quality of the included studies was assessed by two independent reviewers using the \u2018\u2018COnsensus-based Standards for the selection of health status Measurement INstruments\u2019\u2019 (COSMIN) checklist. Based on the COSMIN checklist, internal consistency and test reliability were mostly rated as poorly assessed and quality of studies examining structural validity was mostly fair (60% of studies). Both the GAI and GAI-SF showed adequate internal consistency and test-retest reliability. Convergent validity indices were highest with measures of generalized anxiety and lowest with instruments that include somatic symptoms. Substantial overlap with measures of depression was reported. While there is no consensus on the factorial structure of the GAI, the short version was found to be unidimensional. Our review therefore suggests that the GAI and GAI-SF have satisfactory psychometric properties while indicating that future efforts should aim to achieve a higher degree of methodological quality."}
+{"text": "Drug delivery systems have shown tremendous promise to improve the diagnostic and therapeutic effects of drugs due to their special property. Targeting tissue damage, tumors, or drugs with limited toxicity at the site of infection is the goal of successful pharmaceuticals. Targeted drug delivery has become significantly important in enhancing the pharmaceutical effects of drugs and reducing their side effects of therapeutics in the treatment of various disease conditions. Unfortunately, clinical translation of these targeted drug delivery system mechanisms faces many challenges. At present, only a few targeted drug delivery systems can achieve high targeting efficiency after intravenous injection, even though numerous surface markers and targeting approaches have been developed. Thus, cell-mediated drug-delivery targeting systems have received considerable attention for their enhanced therapeutic specificity and efficacy in the treatment of the disease. This review highlights the recent advances in the design of the different types of cells that have been explored for cell-mediated drug delivery and targeting mechanisms. A better understanding of cell biology orientation and a new generation of delivery strategies that utilize these endogenous approaches are expected to provide better solutions for specific site delivery and further facilitate clinical translation. About 2 million new RBCs are continuously produced per second in the human body directly and indirectly, the therapeutic agents can be attached to the RBCs surface bearing mice are slightly altered compared to encapsulation by red blood cells is generally shorter than the lifespan of RBCs, their special functions make them attractive as drug delivery vehicles because leukocytes are involved in various immune responses, cellular interactions, and cell adhesion that contain distinctive cytoplasmic granules, are the most abundant immune cell population in the human peripheral blood and are generated from the bone marrow Neutrophils are the first cell type to arrive at the sites of infection or inflammation, producing cytokines to recruit other cells, and are cleared after a few days on the surface of T-cells reliable and reproducible, (ii) purified target cells are simpler, (iii) the selectivity and specificity of ligand-receptor attachment can be exploited by active nanoparticle targeting strategies, and (iv) in the case of specific ligand-receptors can be converted into The current CD44-hyaluronic acid interaction has been used in a variety of cell types, mainly to mediate the attachment of cell backpacks to various leukocyte surfaces through specific antibody\u2013antigen recognition on the cell membrane interface on the cell surface, the cell vaccine can be quickly distributed to the liver and spleen since it does not require additional pretreatment to achieve opsinization ester group is used as the cross-linking agent to modify the primary amine by carbodiimide reaction. Current research uses methods to modify particles and cells to provide covalent bonds, which are stronger than adsorption or ligand-induced binding.The sulfhydryl group in the cysteine-containing membrane protein can be coupled through maleimide-sulfhydryl conjugation. The maleimide group can be covalently conjugated to the surface of thiol-rich T cells by reacting to the maleimide group on the liposome. Using this strategy, each cell can bind up to 100 nanoparticles without causing toxicity or affecting cell function , it has been a major challenge in recent years. CTC can automatically leave the primary tumor and sow metastases in the distance. More interestingly, studies have shown that tumor cells interact with leukocytes and endothelial cells through adhesion molecules, which provides a platform for targeting CTCs through leukocytes. Inspired by the rolling of selectin-dependent blood vessels, the study describes a method for targeting leukocytes in blood by directly targeting the apoptosis-inducing ligand TRAIL and the adhesion receptor E-selectin in the blood under shear flow, thereby effectively killing tumors surface painted RBCs could be in one step converted into targeted entities that efficiently and specifically bind to CD45 positive leukocytes and CD19+/CD20+/CD45+ human lymphoma cells Another method is to use an external magnetic field to enhance the accumulation of cellular carriers in the target. Tumor targeting with magnetic carriers induced by an applied external magnetic field (MF) relies on physical forces to enhance tumor accumulation of therapeutic agents. Magnetic nanomaterials can enable remote control of the location of drug vehicles including circulating cells by an external magnetic field and therefore could be applicable to a wide range of solid tumors.in\u00a0vivo and ex vivo imaging data evidenced the highly efficient MF-induced tumor homing of those RBCs, further reducing the RES aggregation , obtaining a DOX@RBC-IONP-Ce6-PEG structure with a long blood-circulation time and strong responses to an external MF. Both The combination of molecular binding and cell-mediated drug delivery is a new and emerging field. The techniques in cellular engineering and biomaterial modifications offer significant opportunities for targeted drug and nanoparticle delivery.5.There are many potential biomedical applications of cell-based drug delivery systems that open up new perspectives on the possibility of using our cells for therapeutic purposes. Compared with traditional targeted drug delivery and nano-drug strategies, cell-mediated drug delivery must consider additional factors. Drugs/particles must not be toxic to the cell carrier and should prevent cell changes after the drug is loaded and the release of pathological mediators including cytokines, ROS, etc., it may cause inflammation or aggravate inflammation.Although cell-mediated drug delivery systems have made great progress in improving diagnostic and therapeutic effects, there are still many challenges to the safety of clinical practice. First, the main challenge in the process of isolating cells Whatever these challenges, cell-mediated drug delivery has enormous potential to revolutionize current diagnostics and medical techniques. Advances in biomaterials may open up the new doors for DDS design. Combining living circulating cells and nanotechnology will become a new direction for controlling drug delivery while providing a powerful technology that can improve overall diagnosis and therapeutic outcomes. Thus, under a variety of pathophysiological conditions, studies of endogenous targeting are gaining momentum. Through the innovation of new technologies, the goal of improving and controlling drug delivery is achieved."}
+{"text": "Congenital Cytomegalovirus (cCMV) is a serious global public health issue that can cause irreversible fetal and neonatal congenital defects in symptomatic or asymptomatic newborns at birth. In absence of universal cCMV screening, the retrospective diagnosis of cCMV infection in children is only possible by examining Dried Blood Spot (DBS) samples routinely collected at birth and stored for different time spans depending on the newborn screening regulations in force in different countries. In this article, we summarize the arguments in favor of long-term DBS sample storage for detecting cCMV infection.CMV infection is the most common cause of congenital infection resulting in severe defects and anomalies that can be apparent at birth or develop in early childhood. Sensorineural hearing loss is the most frequent consequence of cCMV infection and may have a late onset and progress in the first years of life. The virological diagnosis of cCMV is essential for clinical research and public health practices. In fact, in order to assess the natural history of CMV infection and distinguish between congenital or acquired infection, children should be diagnosed early by analyzing biological samples collected in the first weeks of life , which, unfortunately, are not always available for asymptomatic or mildly symptomatic children. It now seems possible to overcome this problem since the CMV-DNA present in the blood of congenitally infected newborns can be easily retrieved from the DBS samples on the Guthrie cards routinely collected and stored within 3\u00a0days from birth in the neonatal screening program for genetic and congenital diseases. Early collection and long-term storage are inexpensive methods for long-term bio-banking and are the key points of DBS testing for the detection of cCMV.DBS sampling is a reliable and inexpensive method for long-term bio-banking, which enables to diagnose known infectious diseases - including cCMV - as well as diseases not jet recognized, therefore their storage sites and long-term storage conditions and durations should be the subject of political decision-making. Dried blood spot (DBS) sampling was first introduced in the early 1960s by Dr. Robert Guthrie who used few microliters of blood obtained by pricking the heel or finger and then blotted and dried onto filter paper in order to detect phenylketonuria in newborns .The most important application of DBS testing is the retrospective diagnosis of congenital Cytomegalovirus (cCMV) infection; since CMV is the most common cause of sensorineural hearing loss (SNHL), CMV diagnosis should be recommended when children fail newborn hearing screening and should be carried out within the first weeks of life . AlthougcCMV infection is a serious global health issue affecting 0.2\u20132.2% of newborns in all populations . It caus. cCMV infection is often insidious as it is most often asymptomatic or poorly symptomatic at birth while it can result in defects that appear during infancy from birth up until six years of age, in at least 13.5% of congenitally infected children [The virological diagnosis of cCMV infection by detecting either the virus or its components is essential for clinical, research and public health purposeschildren , a percechildren . In factchildren .A solution to these issues was offered by the fact that CMV-DNA present in the blood of congenitally infected newborns can be easily identified in DBS samples, obtained from heel or finger pricks and spotted onto filter paper (Guthrie cards), which are routinely collected within 3\u00a0days from birth in most countries under the neonatal screening for genetic and congenital diseases framework .The standard DBS collection methods, transfer of blood onto the paper and the storage and transportation of DBS samples have been described in detail . In brieThe universality of early collection and long-term storage at regional screening centres represent an inexpensive method for long-term bio-banking , 12 and Prospective and retrospective studies have demonstrated that the detection of CMV via DBS sample testing by viral DNA extraction and amplification using PCR methods proved to be as sensitive (64\u2013100%) and specific (99\u2013100%) in diagnosing the congenital infection as the gold standard technique of saliva or urine PCR-testing . HoweverSensitivity to detect CMV in DBS samples compared to saliva and urine is variable across studies mainly due to the DNA extraction method including in-house protocol and commercial kit \u201318 and cIn order to prevent the onset or the progression of SNHL and other CMV-associated disabilities in both asymptomatic and symptomatic newborns and to evaluate the role of cCMV in children with severe neurological sequelae, it is essential to carry out a universal or targeted CMV screening in the framework of the neonatal hearing screening (NHS) program. In this scenario, in the past decade, an ever-increasing number of studies has demonstrated that urine and saliva are speunpublished data). The impossibility of diagnosing cCMV due to the disposal of residual DBS specimens is frustrating.Moreover, the sensitivity of DBS for the retrospective diagnosis of cCMV has been clearly proved in children developing the related-illness in the first few years of life , 32 and DBS storage times and its\u00a0purpose\u00a0made of residual newborn screening DBS specimens depends on the newborn screening programs implemented in different countries, federal states or regions in the same country , 12. WanThe choice of short-term storage (<\u20093\u2009years) of DBS in screening centres may be due to the fact that several social and ethical issues have arisen over the potential uses of residual specimens and patient privacy. However, short-term storage can hinder the cCMV diagnosis after the first few years of life, thus making the diagnosis of CMV-related sequelae an unaddressed issue. The main issue is to find a balance between the need for privacy and the possible public health research uses and benefits. The right DBS long-term storage might be to raise public awareness and parental knowledge on the usefulness of DBS samples (like the cCMV issue), through patient education and counselling and educational programs. In this way, parents might be asked to donate the residual specimens and parents can request that a part of the donated sample is stored for future use. Moreover, collecting paired DBS specimens and giving one to the child\u2019s parents could solve the DBS sample storage issue.Concluding, we state that DBS long-life storage is essential! Since DBS samples can be a helpful and inexpensive diagnostic tools for long-term bio-banking that enable diagnosis of leading infectious diseases - including cCMV- as well as further disease not jet recognized. Long-term DBS storage and usage should be subject to political decision-making."}
+{"text": "Life expectancy has increased over previous decades, but several countries are seeing widening inequalities in disability-free life expectancy (DFLE) by socioeconomic position (SEP). In this symposium we address three unanswered questions.1. Do DFLE trends differ for SEP groups, and which of the underlying transitions explains the differences?2. Do DFLE trends by SEP depend on when in the life-course SEP is measured ?3. How much does multi-morbidity contribute to differing trends in DFLE by SEP, since multi-morbidity is more prevalent in low SEP groups? To answer these questions, we use unique longitudinal studies of older people across different generations in two countries: the UK (Cognitive Function and Ageing Studies \u2013 CFAS I and II) and Australia . The first presentation sets the scene with findings from a systematic review of worldwide trends in life and healthy life expectancy by SEP. Presentations two and three examine the first question using DFLE at age65 by SEP defined by late-life disadvantage in CFAS (1991-2011), followed by HILDA (2001-2017). The fourth presentation investigates the effect of different life-course measures of SEP using HILDA. The final presentation from CFAS examines the third question. This symposium increases our understanding of how and why inequalities in DFLE by SEP are changing with the goal of achieving healthy ageing for all."}
+{"text": "Vaccination is an effective means to prevent infectious diseases including tick-borne encephalitis (TBE), an emerging Flavivirus infection. There is, however, only limited knowledge about risk of vaccination failure, the disease course and the challenges for work-up and care. Of note, there is evidence that patients with breakthrough disease experience a more severe disease course. We report the case of a previously healthy 49-year-old woman who developed severe myeloradiculitis caused by the TBE virus despite receiving a complete cycle of primary immunization and booster vaccinations within the recommended timeframe. The disease course was characterized by progressive tetraparesis, pain and bladder dysfunction and necessitated intensive care unit admission (ICU) and the escalation of pain management. This case raises awareness for the recognition of breakthrough disease in younger patients and reinforces the need to develop measures to identify patients with insufficient protection. Tick-borne encephalitis (TBE) is an emerging Flavivirus infection with 10,000-12,000 cases reported in Europe each year . These iVaccination is an effective measure to prevent morbidity and mortality associated with infectious diseases. This is also the case for TBE where no specific therapy is approved and treatment is supportive only . TBE is We report the case of a previously healthy 49-year-old woman who developed severe myeloradiculitis caused by the TBE virus despite receiving a complete cycle of a primary vaccination and booster vaccinations within the recommended timeframe.A 49-year-old afebrile woman sought treatment at our department due to intractable lower back pain and a mild paresis of the right leg. The symptoms had increased over the course of four days; there was no prodromal phase. Her medical history included an early localized borrelia infection nine years earlier, which was treated with a full course of third generation cephalosporins. She did not take regular medication but had received analgesics from her general practitioner. Living in an endemic region and being at risk of disease exposure as a part-time farmer, she had been immunized for TBEV with a 3-dose standard scheme in childhood and received booster vaccinations according to the national recommendations for individuals at higher risk since then (every three years).A T2-weighted MRI of the spinal cord revealed hyperintense signals in the central and anterior plane of the cervical to the midthoracic cord . Patchy Additional serological tests were directed towards exclusion of neuromyelitis spectrum disorders (aquaporin-4 (AQP4) and myelin oligodendrocyte glycoprotein (MOG) antibodies), other neurotropic viruses (West-Nile Virus (WNV)) and CNS manifestations of systemic autoimmune disorders which included serological tests of autoimmune and paraneoplastic antibodies, dermatological and rheumatological consultation and additional imaging.Three days later, she developed voiding dysfunction, paresis of the left arm and paraplegia of the lower extremities. The rapid progression of motor symptoms necessitated a temporary transfer to the intensive care unit (ICU) but eventually ventilation was not required. The treatment of pain was further escalated with gabapentin, piritramide and fentanyl.There was no evidence for the aforementioned conditions as a cause of longitudinally extensive transverse myelitis (LETM) and repeat CSF examination revealed a further increase of the cell count , elevation of CSF protein (174 mg/dL) and IgG synthesis (48%). We thus extended the work-up towards TBE with the possibility of vaccination failure in mind. Serological tests were reactive for TBEV and corroborated the diagnosis of myeloradiculitis due to the TBEV despite active immunization and regular booster vaccinations. The neurological deficits improved at the time of relocation to a specialized rehabilitation facility and she was able to manage the transfer by herself.On clinical examination two years later, a mild lower extremity paraparesis persisted whereas the function of the upper extremity, urinary dysfunction and pain had fully recovered. A brain MRI performed twice over a period of 2 years showed neither new or expanding lesions nor contrast enhancement.Vaccination failure for the TBEV has been characterized in-depth only recently. Thus, there is no consensus for the criteria for vaccine failure but the definition of \u201cA clinical case of TBE with debut of symptoms after at least two doses of vaccine. The last dose of vaccine received within (i) >4 weeks and <12 weeks if two vaccine doses, (ii) <36 months if three vaccine doses and (iii) <60 months if four or more vaccine doses\u201d could be used as guidance . Our patUsing the aforementioned criteria, a recent Swedish study evaluated a total of 1004 TBE cases and defined 53 of them (5%) as vaccine failures . These dOur finding of extensive intrathecal IgG-synthesis and detection of OCB in combination brain lesions within the white matter and in vicinity to the corpus callosum led to additional diagnostic considerations. Yet, LETM is a rarity in MS and a tractopathy is not reported in MS. Thus, autoimmune conditions as a cause of LETM and viruses leading to anterior horn tractopathy including WNV and Herpes viruses needed to be excluded ,17. A siOur patient had a monophasic course. This is a typical feature of patients with vaccination failure, as reported in 77% of patients in the Swedish cohort, which is more frequent in vaccinated patients . The autThis case illustrates a typical presentation of anterior horn involvement and radiculitis related to TBE, as well as the hazards for the diagnostic work-up and interdisciplinary management in a relatively young patient despite the appropriate vaccination. Moreover, our report reinforces the need to better understand vaccination failure in TBE and develop measures to identify patients which have insufficient protection."}
+{"text": "B\u00e1lint et al. global forebrain ischemia and later reperfusion were induced by the bilateral occlusion and later release of both common carotid arteries in young and aged Sprague-Dawley rats. Spreading depolarizations were elicited repeatedly with topical 1 M KCl. Pial vascular density was measured in green intrinsic optical signal images of the brain surface, while the density and resting diameter of the cortical penetrating vasculature was estimated with micro-computed tomography of paraformaldehyde-fixed cortical samples. Pial arteriolar dilation was found to be reduced in the old rat brain in response to spreading depolarization or ischemia induction. Spreading depolarization was recognized as a potent pathophysiological contributor to ischemic lesion expansion, in part because of the insufficiency of the associated cerebral blood flow response. The age-related impairment of cerebral vasoreactivity as shown by B\u00e1lint et al. is suggested to contribute to the age-related acceleration of ischemic lesion development.In our special issue the different aspects of cerebrovascular aging have been discussed. In the original article authored by Gresita et al. hypothesized that restoring the balance within the neurovascular unit may lead to an improved neurorestoration after focal ischemia. A novel, innovative technology was used for reprogramming of reactive glia into neuroblasts and mature neurons by a retroviral delivery system encoding the transcription factor Ngn2 alone or in combination with the antiapoptotic factor Bcl-2 to target proliferating astrocytes in the neocortex in young and aged mice after cerebral ischemia. The conversion efficacy of proliferating astrocytes into neurons after cerebral ischemia was however, disappointingly low. The authors hypothesized that therapeutic vectors carrying the conversion gene were engulfed by phagocytes shortly after intracortical administration. Gresita et al. suggested to use other viral vectors and combinations of transcription factors to improve the efficacy of glia-to-neuron conversion after stroke in young and aged rodents.After cerebral ischemia, the ratio between astroglial cells and neurons in the neurovascular unit is disrupted in the perilesional area. Miller et al. described a clinical study on the measurement of the effect of advanced age on cerebrovascular reactivity. Young and older healthy, physically active adults with low vascular risk participated in the study. Cerebrovascular reactivity was measured in response to hypercapnia using 4D flow MRI, which allows for simultaneous angiographic and quantitative blood flow measurements in the intracranial arteries . As it was shown older adults had lower global cerebrovascular reactivity and reduced reactivity was also shown individually in multiple intracranial arteries compared with young adults. In addition, the MCA dilated significantly in response to hypercapnia in young, but not older adults, which is a marker or predictor of future risk of cerebrovascular disease. These results demonstrated using 4D flow MRI, that normal aging is associated with lower cerebrovascular reactivity in healthy adults and also demonstrated that the state-of-the-art technology of 4D flow MRI may provide a promising new alternative to measure cerebrovascular physiology without the limitations of commonly used techniques.Zhao et al. three groups of aged patients were compared. The first group has a severe small vessel disease, the second has a low severity small vessel disease and the third was an aged \u2013matched healthy group. A cognitive behavioral test was performed to evaluate the possible cognitive deficit of the patients. The digital clock drawing test (dCDT) has been proved to be a more useful assessment tool for cognitive disorders compared to traditional clock drawing test DT (tCDT). Zhao et al. aimed to check whether this tool worked well in capturing some specific aspects of cognitive performance in aged patients with small-vessel disease. The dCDT and a series of neuropsychological assessments were performed to evaluate the cognitive function of participants. Severe-small vessel diseased patients showed higher air-time percentage and lower mean handwriting/drawing pressure on surface during drawing compared with low-severity and healthy subjects. The data indicated that some early manifestations of cognitive deficits in aged patients with small vessel disease could be detected using the dCDT with a brand-new perspective different from the tCDT.In another clinical study performed by Egimendia et al. described a resting state fMRI study on different groups of C57Bl6 mice of varying age between 2 and 13 months without any therapeutic or surgical intervention. Dedicated data analysis resulted in an inverse U-shape curve of functional connectivity strength in both the sensorimotor and default mode network. This inverse U-shape pattern presented a maximum of functional connectivity strength at 8\u20139 months of age, followed by a continuous decrease during later aging phases. At progressed aging at 13 months, the reduction of connectivity strength was ~50%. The authors concluded that these substantial age dependent changes in functional connectivity strength must be considered in future longitudinal studies.Resting state fMRI is increasingly used to unravel the functional neuronal networks in health and disease. In particular, this technique of simultaneously probing the whole brain has found high interest in monitoring brain wide effects of cerebral disease and in evaluating therapeutic strategies. Such studies, applied in preclinical experimental mouse models, often require long-term observations. These long periods of following the functional deficits during disease evolution as well as the functional recoveries during therapeutic interventions represent a substantial fraction of the life span of the experimental animals. Based on this observation Erdo and Krajcsi is focusing on the role of efflux transporters at the blood-brain barrier in age-related brain pathologies and also in healthy aging.During the last decade several research article reported a relationship between advanced age and changes in the integrity of the blood-brain barrier. These alterations manifested not only in the morphology and structure of the cerebral microvessels but also in the expression and functionality of the transporter proteins in the apical and basolateral surface of the capillary endothelial cells. Age-associated downregulation of the efflux pumps (ABC transporters) resulted in increased permeability and greater brain exposure to different xenobiotics enhancing the risk of drug-induced toxicity. In age-related neurodegenerative pathologies like Alzheimer's disease the amyloid beta clearance decreased due to P-glycoprotein dysfunction leading to higher brain exposure. In contrast, in stroke an enhanced P-glycoprotein function was reported in the cerebral capillaries making even more difficult to perform effective neuroprotective therapy in the infarcted brain area. The mini-review of In summary, this special issue presents a wide spectrum of original research studies from animal experiments to clinical investigations focusing on different aspects of cerebrovascular aging. Some innovative methodological and evaluation-related approaches are nicely discussed.The author confirms being the sole contributor of this work and has approved it for publication.The author declares that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "The aim of this paper is to assess the extent of the potential bias introduced by the exclusion of the Medicare Advantage (MA) population\u2013 an increasingly sizeable subset of the Medicare population which does not provide claims data to the Centers for Medicare and Medicaid Services\u2013 from Medicare-based health outcomes and epidemiologic analyses. Using self-reported data from the Health and Retirement Study together with monthly information on Medicare enrollment, we compared MA enrollees with individuals enrolled in traditional Medicare (TM) on 42 variables representing demographic, socioeconomic, adverse health behavior and health status-related characteristics over the 1991-2015 period. We used both univariate analysis (t-tests and standardized differences) and multivariate logistic regression to compare the two groups. We found that apart from differences in economic (higher in TM group) and education status (lower in MA group) \u2013 which have been increasing in magnitude over the 1991-2015 period\u2013 the MA subset was highly comparable with the traditional Medicare (TM) population. Even though the TM population was characterized by slightly higher levels of morbidity, the resulting crude prevalence rates for common age-related diseases in the TM/MA groups were within each other\u2019s 95% confidence intervals and did not represent a major source of bias. MA membership was not associated with increased mortality at any point over the 1991-2015 period. We conclude that exclusion of the MA population will not lead to notable bias in health outcome analyses apart from those for which income and education are important explanatory factors."}
+{"text": "It is recognised that surgical conservatism is the most effective way of managing the axilla in breast cancer patients undergoing primary breast conserving surgery. The extended clinical scenarios in which a less aggressive approach can be safely adopted warrant consideration\u2014including a group of patients who potentially could bypass surgical staging of the axilla altogether. The application of omission of further surgical management and axillary radiotherapy in the primary surgical and neoadjuvant chemotherapy settings are considered. Surgical axillary nodal status remains relevant for the determination of adjuvant systemic therapies in breast cancer. Modern breast cancer care is based upon multimodal management and has since evolved several diagnostic and therapeutic techniques that allow for a more nuanced approach with the aim of avoiding complete axillary node clearance (ANC) where possible. This includes genomic assessments, such as MammaPrint , OncotypFor patients presenting with primary invasive breast cancer, current practice with regards to the axilla includes a clinical and radiological assessment (most commonly ultrasound) at the time of work up . The cliANC was once a one-size-fits-all tool to enable locoregional control. The subsequent development of sentinel node biopsy (SNB) meant that the pathological status of some axillary nodes could be assessed prior to the completion of ANC. An important further step forward came from the results of the NSABP B-32 and IBCSThe landmark ACOSOG Z011 trial deRadiotherapy itself also has adverse side effects\u2014including lymphoedema\u2014and should be avoided where safely possible. In patients with early breast cancer and favourable biomarkers (using the composite IHC4+C score), the PRIMETIME trial wiThe Z11 trial did not use axillary ultrasound to stratify patients prior to sentinel node biopsy. Since axillary ultrasound is routinely used is in clinical practice, the relevance of it on quantification of axillary burden is an important consideration.In the case of a positive pre-operative AUS, the current standard is to either proceed with ANC or to commence upon PST to downstage the axilla. The practice of \u2018fast-tracking\u2019 positive AUS patients to ANC based on the assumption that, owing to its relatively low sensitivity , a positThe current standard of practice consists of SNB being performed to confirm the node-negative status of the axilla\u2014in the clinically and radiologically negative axilla. However, despite AUS\u2019s relatively low specificity, its sensitivity is far more robust. Indeed, a pooled meta-analysis showed that among 5,139 patients with a negative axillary clinical and ultrasound examination pre-operatively, the negative predictive value of AUS was 95.1% for low nodal burden . This suTraditionally, patients undergoing mastectomy\u2014regardless of their axillary node status\u2014have been considered as a separate group in terms of the management of the axilla, owing to the omission of adjuvant radiotherapy in certain patients. Current indications for post-mastectomy radiotherapy (PMRT) include tumour size greater than 5 cm, T4 disease, 4 or more positive axillary lymph nodes and positive or close surgical margins . All of The use of neo-adjuvant chemotherapy (NACT) in breast cancer is successfully deployed in downsizing the primary tumour to permit breast conserving surgery, thus avoiding mastectomy. Long term survival outcomes in NACT versus adjuvant chemotherapy have been comparable . In termThree clinical trials have examined the false-negative rate (FNR) of SNB following NACT as previous retrospective series had demonstrated highly variable rates\u2014some so high as to nullify the utility of the procedure in this setting . ACOSOG et al [In patients with node-positive disease prior to NACT, a biopsy can be performed to confirm pathological status of the node, and a radiological clip placed in the node. This is useful as the pathological response to NACT of the clipped node is used as a surrogate for the overall nodal status of the axilla. Indeed, a further finding from the Z1071 trial was that FNR of SNB in the 203 patients with a radiologically clipped node was 6.8% when the clipped node was in the SNB specimen . So-callet al in 191 pet al procedurThese techniques seek to optimise the diagnostic and therapeutic value of an augmented sentinel node biopsy procedure to enable the minimum amount of surgical intervention in the axilla post-NACT. Removing the clipped node, and at least three nodes as a part of SNB is evidence-supported to provide good oncological control while avoiding ANC. If, at TAD, residual disease is found in the biopsy-proven node, then further axillary management is needed\u2014current standard of practice would be to perform completion ANC. However, those with low axillary burden are likely being overtreated with this approach. These patients require assessment in future trials of no further management \u2014in the context of breast conserving surgery post-NACT receiving whole breast radiotherapy\u2014and also axillary radiotherapy. The ongoing Alliance A11202 trial will assThe evidence-supported direction of axillary surgical management is of decreasing intervention to the axilla. This is supported in both the primary breast surgery and systemically-treated settings. The future refinements of surgery will be based upon the selection of omission of surgical staging, enhancing the bespoke nature of targeted axillary dissection, determination of the significance of residual disease\u2014after PST\u2014and further assessing what truly represents the threshold for low axillary burden. This will herald an exciting era of reduced morbidity for patients.The authors have no disclosures to make concerning financial or personal relationships that could inappropriately influence their work.No funding was received for this study."}
+{"text": "Interstitial Lung Disease (ILD) represents one of the most severe complications of Rheumatoid Arthritis (RA). Preliminary data from the RA Greek cohort show a prevalence of 5.3%. Due to scarcity of data, little is known regarding the epidemiological and clinical features of Greek patients with RA-ILD. Moreover, use of pulmonary function tests for prognostic purposes in patients with RA-ILD is still not sufficiently studied. Interestingly, the treatment approach of patients with RA-ILD remains controversial due to high risk of infection, possible drug-related pulmonary toxicity, and scarce evidence regarding the efficacy of medications used in these patients. The aim of this research protocol is to collect data from patients with RA-ILD followed in multiple centres across Greece in order to identify the clinical and epidemiological features of these patients. The second part of the study focuses on the prospective data collection regarding the progression of ILD, the response to different treatment modalities and the incidence of adverse events attributed either to the disease itself or to its treatment in patients with RA-ILD. This study may provide useful evidence in exploring both the natural history and the risk factors contributing to the development of ILD, as well as the efficacy and the adverse events attributed to the medications used in Greek patients with RA-ILD; thus ameliorating the therapeutic approach of RA-ILD patients in daily clinical practice. ILD prevalence in RA patients from a multicentre study involving 15 European countries was reported at 4.5%,2 and preliminary data from the RA Greek cohort show a prevalence of 5.3%. Interestingly, a recent large multicentre UK study reported that in 83% of RA patients arthritis preceded the diagnosis of ILD while in the remaining 17% of patients arthritis appeared synchronously (7%) or metachronously (10%) of the ILD diagnosis.3 Importantly, mortality risk is 3 times higher in RA patients with ILD compared with RA patients without ILD while mean survival since the diagnosis of symptomatic ILD ranges from 2\u20136 years. Overall, ILD confers 13% of the increased mortality risk noted in RA patients compared to the general population.1Interstitial Lung Disease (ILD) represents one of the most severe complications of Rheumatoid Arthritis (RA). Epidemiological data from Mayo Clinic reveal that ILD development in RA patients has a hazard ratio (HR) of 8.96 which is further heightened in patients with increased age, male gender, smokers and with high disease burden .5 To our knowledge, no study so far exploring the prevalence of the different HRCT patterns in Greek RA patients has been published.Recent data highlight the crucial prognostic role of the ILD HRCT pattern. Thus, the Usual Interstitial Pneumonia (UIP) pattern is discovered with increased frequency in RA patients and is associated with significantly worse survival compared to other HRCT patterns .6 Reduction of FVC and/or DLCO levels below of 70% of predicted values is significantly associated both with ILD progression and ILD-related mortality in systemic sclerosis patients. Similar data regarding RA-ILD patients are scarce.7 Consequently, use of such PFTs parameters in the assessment and management of RA-ILD patients in clinical practice is not evidence-based.Moreover, studies in Systemic Sclerosis demonstrate that pulmonary function tests play a crucial prognostic role in assessing both the severity as well as the progression of ILD in these patients.10 Observational studies in RA-ILD patients have also established the increased risk for infections (both common and opportunistic) due to the use of immunomodulatory/immunosuppressive medications.12 Further increasing the uncertainty regarding management decisions in RAILD patients, the effectiveness of DMARDs in treating or at least halting the progression of ILD is supported by weak evidence mainly by non-randomized small sample sized studies13 or case series.15Whilst all other extra-articular manifestations of RA show decreasing frequency over the years mainly due to the use of highly-effective DMARDs, RA-ILD frequency is rising; demonstrating that its management remains highly controversial. Available DMARDs used in RA management have been invariably associated with de novo detection or deterioration of pre-existing ILD as well as other pulmonary manifestations.16 with and without ILD who are referred and followed at the participating hospitals will be collected (both in hardcopy datasheets and electronic database). For each patient the initial dataset includes:Detailed data of RA patients (fulfilling the 2010 ACR/EULAR criteria)Demographical data ;Comorbidities ;Clinical and Laboratory data regarding RA ;Past and current medications use (relative to RA); andVaccinations.Chest HRCT will be adopted for establishing the diagnosis of ILD. Additional data regarding ILD will be collected including date of ILD diagnosis, presenting symptoms as well as the subjective respiratory functional status (as per MRC), HRCT pattern of ILD and the results of PFTs .At the follow-up visits taking place every 3 months the following data will be collected:Data regarding RADisease activity assessment and functional status (HAQ);Treatment and eventual treatment/dose modifications ; andAdverse events such as infections, hospitalizations or other events attributed either to the disease itself or to its treatment.Data regarding ILDPatient\u2019s respiratory functional status (as per MRC);Results of PFTs ; andHRCT report.The first part consists of a cross-sectional study between patients with RA-ILD and RA-non ILD (gender- and age-matched control group) in order to identify independent risk factors associated with ILD and the relative risk attributed to each one of these risk factors.The second part of the study focuses on the prospective data collection regarding RA-ILD patients aiming at the determination of the following outcomes:Prevalence of the different HRCT patterns;Severity assessment of ILD in the initial and successive follow-up visits;Response to different treatment modalities; andIncidence of adverse events attributed either to the disease itself or to its treatment.Our goal is to collect data from at least 100 RA-ILD patients for this study to be sufficiently powered. Moreover, we aim to complete both data collection and statistical analysis by July 2019 in order to publish the results in the forthcoming 2019 ACR Congress and to peer-reviewed international journals.All analyses will be performed with the use of Microsoft Excel 2013 and IBM SPSS Statistics v.20 software. At first, data will be analysed by descriptive statistics. Continuous variables will be presented by mean and median values and standard deviations. Categorical variables will be presented by percentages. Multivariate analysis will be performed in order for independent risk factors to be assessed.This is the first study aiming to collect data from RA-ILD patients followed in multiple hospital centres in Greece in order to assess both the natural history and the risk factors contributing to the development of ILD. Exploring both the efficacy and the adverse events attributed to the medications used in patients with RA-ILD will provide useful evidence leading to the amelioration of the therapeutic approach to RA-ILD patients in daily clinical practice. An additional benefit of this study will be the generation of a biobank of serum and nucleic acids for future biomarker studies."}
+{"text": "Neoadjuvant therapy improves long-term survival by providing locoregional disease control and reducing the risk of long-term recurrence. The most important prognostic factor of survival after neoadjuvant therapy followed by surgery is the burden of lymph node involvement. Several trials have demonstrated improved long-term survival with neoadjuvant therapy; however, there are little data evaluating adenocarcinoma and squamous cell carcinoma (SCC) and difference in outcomes for similar pathological stage with and without neoadjuvant treatment. This studyThese results corroborate what has been found in other recent studiesThis study reinforces the understanding that post-neoadjuvant stage influences prognosis. While some may advocate \u2018complete\u2019 restaging prior to progressing to surgery, induction therapy is known to potentially impact on the reliability of staging modalities. It may also be important to consider the post-neoadjuvant stage when deciding on the merit of adjuvant treatment. There has been some suggestion that adjuvant treatment may confer some benefit in node-positive patients with adenocarcinoma who received neoadjuvant chemoradiotherapy, and it already forms part of the standard of treatment in patients receiving MAGIC protocol chemotherapy."}
+{"text": "It has been brought to our attention that the first sentence of the Conclusion in the original publication [1] is incorrect. We have removed this sentence and the correct version can be found in this Erratum.Conclusion:Urethral strictures are common and management of long-segment strictures present a ongoing challenging surgical problem primarily because of stricture recurrence following urethrotomy or urethral dilatation This is an area where much more research is needed and we would conclude that it is an area of unmet clinical need where users of tissue engineering in the future need to carry out a rigorous basic science programme and need to be cautious in drawing conclusions based on initial experience and report on long-term clinical results.Chapple C (2019) Tissue engineering of the urethra: where are we in 2019? World J Urol. 10.1007/s00345-019-02826-3.Reference:The original article has been corrected."}
+{"text": "Identification of prognostic factors for swallowing recovery in patients with post-stroke dysphagia is crucial for determining therapeutic strategies. We aimed at exploring hyoid kinematic features of poor swallowing prognosis in patients with post-stroke dysphagia. Of 122 patients who experienced dysphagia following ischemic stroke, 18 with poor prognosis, and 18 age- and sex-matched patients with good prognosis were selected and retrospectively reviewed. Positional data of the hyoid bone during swallowing were obtained from the initial videofluoroscopic swallowing study after stroke onset. Normalized hyoid profiles of displacement/velocity and direction angle were analyzed using functional regression analysis, and maximal or mean values were compared between the good and poor prognosis patient groups. Kinematic analysis showed that maximal horizontal displacement (P\u2009=\u20090.031) and velocity (P\u2009=\u20090.034) in forward hyoid motions were significantly reduced in patients with poor prognosis compared to those with good prognosis. Mean direction angle for the initial swallowing phase was significantly lower in patients with poor prognosis than in those with good prognosis (P\u2009=\u20090.0498). Our study revealed that reduced horizontal forward and altered initial backward motions of the hyoid bone during swallowing can be novel kinematic features indicating poor swallowing prognosis in patients with post-stroke dysphagia. Post-stroke dysphagia is a common complication following stroke2. It can induce malnutrition, dehydration, and aspiration pneumonia, which can potentially increase mortality or the duration of hospitalization, and can interfere with the recovery of the neurological and functional status of patients5. Although most patients with post-stroke dysphagia follow a benign clinical course, 13\u201318% can show severe dysphagia that can persist for more than 6\u00a0months7. Identification of prognostic factors for poor swallowing recovery in patients with post-stroke dysphagia is crucial for determining therapeutic strategies and counseling patients and their relatives.Stroke is one of leading causes of death and disabilities worldwide11. In particular, the hyoid bone, which is a \u2018U\u2019-shaped structure located in anterior neck12, has been utilized as a target structure in previous kinematic studies, since hyoid motions are the main physiological events that occur during pharyngeal swallowing15, and the hyoid bone can be well-visualized in fluoroscopic images16. It moves anteriorly and superiorly in normal swallowing, actively opening the upper esophageal sphincter and leading to an epiglottic tilt; this is the principal protection mechanism of pulmonary aspiration18. It is known that forward movements of the hyoid bone are substantially decreased in patients with post-stroke dysphagia, which is one of the distinctions compared with healthy individuals19. However, there have been rare studies that have investigated hyoid kinematic features associated with swallowing recovery in patients with post-stroke dysphagia.Kinematic analysis of videofluoroscopic swallowing study (VFSS) has contributed to the exploration of novel swallowing characteristics by investigating motions of swallowing-related structures. Numerous studies have reported that the pharyngeal swallowing motions were disorganized in dysphagia patients with varying etiologies20. It is used to analyze the functional data that are converted from discrete observations in the form of a time series. This is done by using basis function expansion and smoothing methods, thus enabling the quantitative analysis of time-series data for group comparison showing regression coefficient functions and differential time interval21. Previous swallowing kinematic studies have analyzed swallowing motions by observing discrete variables such as maximum or mean displacement, or velocity rather than the entire profile of movements over time11. However, this traditional approach may be limited in exploring novel kinematic features of pathologic swallowing because it does not consider pointwise differences in hyoid trajectories over time. In this regard, FLR allows the collection of time-series data of the hyoid bone during the swallowing process to be represented in new ways than the previously described ones; these data can be beneficial for analyzing group differences in a quantitative manner22.Functional linear regression analysis (FLR) is a version of linear regression analysis where dependent or independent variables are functionalAlthough the prognostic features of post-stroke dysphagia should receive attention in clinical practice, hyoid kinematic features for swallowing prognosis have not been fully elucidated. FLR can be a beneficial method to compare time-series motion data. In this study, we used FLR and aimed to investigate novel hyoid kinematic features for poor swallowing prognosis in patients with post-stroke dysphagia.23. The exclusion criteria were as follows: concomitant neurologic diseases associated with dysphagia, age less than 19\u00a0years, tracheostomy, unconsciousness, history of dysphagia, no swallowing reflex on VFSS, VFSS images of poor quality, and no records of brain magnetic resonance imaging. After exclusion, a total of 122 patients with post-stroke dysphagia were included in the kinematic analysis of VFSS. Among these candidates, 24 (17.5%) patients showed poor swallowing recovery until 6\u00a0months after stroke onset. Age- matching and sex-matching were performed between patients with good and poor prognosis for swallowing function because age and sex may affect the kinematic parameters of the hyoid bone during swallowing24. Finally, 18 patients with poor prognosis of swallowing function (no recovery to pre-stroke status at 6\u00a0months) and 18 age- and sex-matched patients with good prognosis of swallowing function (recovery to pre-stroke status at 6\u00a0months) were selected for this study.Clinical and VFSS data of consecutive patients who experienced an acute ischemic stroke and were referred for VFSS due to dysphagia between January 1, 2014, and June 31, 2018 were retrospectively obtained25, stroke location, vascular territory of the brainstem27 stroke laterality, multifocal lesions, bilateral lesions at the corona radiata, basal ganglia and/or internal capsule, severity of white matter hyperintensity in terms of the Fazekas rating scale in terms of the National Institute of Health Stroke Scale upon admissionAll patients in this study were referred to physiatrists for swallowing assessments and were scheduled to undergo VFSS if post-stroke dysphagia was suspected. VFSS was performed by physiatrists to assess swallowing function and establish feeding strategies. Two-dimensional X-ray images were obtained from patients with post-stroke dysphagia by using VFSS to assess hyoid motions during swallowing in the lateral view Fig.\u00a0. During https://github.com/cmookj/stamps) was used in the present study30. The positional data of the second cervical vertebrae (C2) and the fourth cervical vertebrae (C4), and a coin with a diameter of 23.5\u00a0mm as a reference object were additionally obtained to adjust neck movements during swallowing and to normalize the length of displacement. A local coordinate system was applied for each VFSS image in which the origin and the vertical axis were defined as the anteroinferior vertex of the C4 and the line connecting the origin and the anteroinferior vertex of the C2. The starting point of the hyoid bone was set as the origin of the coordinate axes for comparison of trajectories. Previously published researches have provided detailed information about methods for determining the relative position and time lapse in the motion of the hyoid bone during swallowing30.All VFSS images were acquired from the patients included in this study. To extract positional data of the hyoid bone from these images, the swallowing motion analysis software called the spatio-temporal analyzer for motion and physiologic study with the FDA package. The two-dimensional hyoid trajectories were illustrated using MATLAB R2019a .Positional data of the hyoid bone were converted to functional data after adjustment for neck movements and normalization. Discrete observations in the t-test for continuous variables, and the chi-square test or Fisher\u2019s exact test for categorical variables. The maximal values of hyoid displacement (HD) and velocity (HV) and mean values of direction angle for the 5th\u201320th percentile durations were compared between the age- and sex-matched stroke patients, using an independent-sample The clinical information was compared between patients with post-stroke dysphagia who showed good and poor swallowing prognosis using an independent-sample Table Figure\u00a0The mean HVs in the horizontal and vertical planes for the age- and sex-matched stroke patients with good and poor prognosis for swallowing function are shown in Fig.\u00a0The mean trajectories for the hyoid direction angles in the age- and sex-matched stroke patients with good and poor prognosis for swallowing function are illustrated in Fig.\u00a0Table The current study aimed to investigate the characteristic kinematic parameters of the hyoid bone, which are associated with poor swallowing prognosis in patients with post-stroke dysphagia. Pointwise differences in swallowing motion over time were analyzed between patients with good and poor swallowing prognosis by using FLR and analyzing maximal or mean values of hyoid kinematic parameters. The results showed that HD and HV of the horizontal plane during the forward motions were significantly reduced in patients with poor swallowing prognosis compared with those with good swallowing prognosis, though the values of the vertical plane were not significantly different. Decreased direction angle of the hyoid bone during the early phase of swallowing was also evident in patients with poor swallowing prognosis.19, were consistently decreased in stroke patients with poor swallowing prognosis compared to those with good swallowing prognosis in the current study. Horizontal HV increased and then decreased rapidly in stroke patients with good prognosis compared to those with poor prognosis according to the results of FLR analyses. A substantial decrease in horizontal HD and HV at the early phase of stroke may reflect initial severity of dysphagia which has been previously reported to be associated with the hindrance of swallowing recovery36. Since the contraction sequence of the\u00a0hyoid-adjacent muscles is constant during the pharyngeal phase of swallowing37, damage to the swallowing-related neural systems that control the hyoid-adjacent muscles can cause the deterioration of this sequence39. Decreased forward motion of the hyoid bone caused by impairment of the swallowing-related neural systems can result in poor relaxation of the upper esophageal sphincter, accumulation of the residue in the pyriform sinus, and an increase in aspiration risk18. In addition, hyoid motions during the late phase of swallowing are involved in returning to the initial position before swallowing and can be essentially affected by the hyoid trajectories in the early phase of swallowing. Thus, hyoid trajectories during the late phase of swallowing can be an indirect result of weakness of the hyoid-adjacent muscles after stroke and clinical emphasis should be placed on the early phase of swallowing rather than on the late phase.This study suggests that a decrease in horizontal HD and HV indicates poor swallowing prognosis in post-stroke dysphagia. HD and HV, which were discrepant in comparison between stroke patients and healthy controls in a previous study40. The decreased direction angle can be explained by weakness of the hyoid-adjacent muscles to pull the hyoid bone posteriorly, including the stylohyoid muscle and posterior digastric muscle37. The capacity to generate strong forces in the forward direction by lengthening the suprahyoid muscles can be deteriorated in the vertical direction of backward force vectors during the early phase of swallowing in patients with poor prognosis of swallowing function11. Additionally, the observation of preserved vertical motions during swallowing was in concordance with the findings of a\u00a0previous research which showed that maximal HV was preserved in the vertical plane, but decreased significantly in the horizontal plane in stroke patients with aspiration, compared with healthy participants19. In this previous study, maximal HD was preserved in the vertical plane unlike that in the horizontal plane, even though the difference between the two groups was not significant. Another study comparing healthy younger and older participants also indicated that vertical HD was greater in older participants than in younger participants8. Effortful swallowing is a plausible compensatory mechanism to explain the following disjunction: HD and HV in the horizontal plane are less affected by effortful swallowing than the HD and HV in the vertical plane41. To offset the weakness of the pharyngeal musculature for swallowing difficulty, patients with more severe dysphagia may show forceful swallowing as a natural compensation42.The direction angle, which is the angle of the vectors, was adopted in this study as a kinematic parameter to reflect the dominant direction of the hyoid motions in the early phase of swallowing. Figure\u00a011. The present study showed a reduced direction angle in the early phase of swallowing, which was identified using FLR by analyzing time-series data for the hyoid bone during swallowing. This finding supports the relative preservation of hyoid motions in the vertical plane, contrary to hyoid motions in the horizontal plane. In fact, previous studies investigating the effects of therapeutic interventions on swallowing outcomes in patients with post-stroke dysphagia usually did not adopt kinematic parameters to determine patient inclusion43. This is possibly because of the technical difficulty in conducting image processing of VFSS data and analyzing kinematic parameters related to swallowing in clinical studies. The methods used to quantitatively analyze swallowing kinematics in this study can be potentially useful for reducing or correcting a potential selection bias in further comparative studies on post-stroke dysphagia.In this study, FLR was used as the main statistical method to identify pointwise differences in swallowing trajectories over time between stroke patients with good and poor prognosis for swallowing function. This method was previously used to explore novel kinematic features related to swallowing by quantitatively analyzing hyoid trajectories in patients with Parkinson\u2019s diseaseThis study has several limitations. First, the sample size of the current study was small. To analyze the differences between good and poor swallowing prognosis groups, age- and sex-matching were used; many patients with good swallowing prognosis were not included in the analysis. It was difficult to conduct subgroup analyses to identify subtle between-group differences in clinical and radiologic variables. This is the first study to explore swallowing kinematic features of stroke patients with poor prognosis and future studies involving a larger sample size may be necessary to generalize the results of this study. Second, hyoid motions for only the specific liquid volume were analyzed to ensure comparability in this study. Previous studies have indicated that viscosity and volume of the ingested liquid can affect the hyoid kinematic features considerably. Hyoid kinematic analyses for diverse viscosity or volume of liquid can be helpful to explore novel kinematic features indicating poor swallowing prognosis of post-stroke dysphagia in further studies. Third, potential confounding factors such as sarcopenia and nutritional status, which can affect swallowing function, were not measured in this study and should be considered in prospective comparative studies for swallowing interventions.In conclusion, the swallowing kinematic analysis based on FLR indicated reduced horizontal HD and HV and decreased direction angle for the early phase of swallowing in patients with post-stroke dysphagia showing poor swallowing prognosis. Altered initial backward motions and reduced horizontal forward motions of the hyoid bone during swallowing may be novel kinematic features for poor prognosis of post-stroke dysphagia. FLR can potentially provide new insights in understanding swallowing kinematics and physiology in pathologic swallowing in further studies."}
+{"text": "In vector borne diseases the human hosts' epidemiology often acts on a much slower timescales than the one of the mosquitos which transmit the disease as a vector from human tohuman, due to their vastly different life cycles. We investigate in a model withsusceptible (S), infected (I) and recovered (R) humans and susceptible (U) and infected(V) mosquitoes in how far the fast time scale of the mosquito epidemiology can be slavedby the slower human epidemiology, so that for the understanding of human disease datamainly the dynamics of the human time scale is essential and only slightly perturbed bythe mosquito dynamics. This analysis of the SIRUV model is qualitatively in agreement witha previously investigated simpler SISUV model, hence a feature of vector-borne diseases ingeneral."}
+{"text": "First Person is a series of interviews with the first authors of a selection of papers published in Biology Open, helping early-career researchers promote themselves alongside their papers. Bishal Basak is first author on \u2018 Bishal BasakWhat is your scientific background and the general focus of your lab?I joined Prof. Padinjat's lab as an Integrated MSc-PhD student soon after receiving my Bachelor's degree in Microbiology from St. Xavier's College, Kolkata, India.I have always been intrigued with the concept of how cells communicate using simple molecules like lipids, proteins and other effectors. Such communication is essential to support physiology starting from a unicellular bacterium to the most complex eukaryotic organism. Prof. Padinjat's lab looks at the role of a specific group of lipids termed phosphoinositides in maintaining membrane trafficking, sub-cellular organization, in addition to understanding how they regulate human brain development and function. The lab provided me with an ideal platform to study how lipid mediated signalling is key to driving multiple cellular processes.\u201cI have always been intrigued with the concept of how cells communicate using simple molecules\u2026\u201dHow would you explain the main findings of your paper to non-scientific family and friends?My article deciphers how the interactions of each subunit of a complex protein is essential to provide vision in insects such as the fruit fly.What are the potential implications of these results for your field of research?Drosophila photoreceptors is one of the few studies which deduces the importance of regulated lipid transfer at ER-PM interface from an in vivo cell biological perspective.Since the initial discovery of Phosphatidylinositol (PI) transfer proteins (PITPs) in 1974, a long-standing question has been why some PITPs have multiple domains as opposed to few others which just harbor only a singular PI transfer domain. Our results not only address how each domain in a multidomain PITP is important to the protein per se, but also sheds light on how loss of these domains disrupt cellular homeostasis. Our detailed study on RDGB function in What has surprised you the most while conducting your research?I have been amazed by how different domains of a protein, each with distinct role, also interact with each other to regulate neuronal structure and function.What, in your opinion, are some of the greatest achievements in your field and how has this influenced your research?Drosophila serve as an unique and powerful model system to study the in vivo effects of lipid transfer at membrane contact sites, not many of which are known in the field, have been extremely influential for our study.Some of the initial discoveries which showed that blocking traditional vesicular trafficking pathways do not affect transport of certain lipids paved the path for identifying and studying non-conventional modes of trafficking within cells. Additionally, discoveries involving how photoreceptors of What changes do you think could improve the professional lives of early-career scientists?I believe there should be more opportunities for early-career scientists to present their work out in the scientific community. This should include more workshops, symposiums and conferences at both national and international level dedicated for people at such career stages. In conferences there should be more student talks than faculty, online streaming/poster sessions (even after in-person conferences resume) should be made mandatory benefitting those who cannot afford the expenditures of attending an international conference. Also, symposiums dedicated particularly for career guidance will greatly impact the lives of many early-career scientists who may wish to transition from academia.\u201c\u2026online streaming/poster sessions (even after in-person conferences resume) should be made mandatory\u2026\u201dWhat's next for you?I am currently working on getting another manuscript out for publication. I am also looking forward to starting working as a post-doctoral fellow soon."}
+{"text": "N-methyl-D-aspartate receptor (NMDAR) response magnitudes result in synaptic potentiation or depression. We asked whether NMDAR response magnitude also affects\u00a0the transformation of temporal information into directional spatial maps. We quantified retinotectal axon branch dynamics in Xenopus optic tectum in response to temporal sequences of visual stimulation. Reducing NMDAR responses by 50% inverts the spatial distribution of branch dynamics along the rostrocaudal axis in response to temporal patterns of input, suggesting that the magnitude of NMDAR signaling encodes the temporal sequence of inputs and translates the temporal code into a directional spatial map using structural plasticity-based branch dynamics. We discuss how this NMDAR-dependent decoding mechanism retrieves spatial information from sequential afferent activity.Spatial representations of the sensory world are important for brain function. Timing is an essential component of sensory information. Many brain circuits transform the temporal sequence of input activity into spatial maps; however, the mechanisms underlying this transformation are unclear. Different \u2022NMDAR response magnitude encodes the temporal sequence of inputs\u2022NMDAR mechanism decodes spatial information from sequential input activity\u2022NMDAR attenuation inverts the temporal to spatial transformation\u2022NMDAR activity alters the spatial distribution of dynamic and stable branches Developmental Neuroscience; Sensory Neuroscience ; Techniques in Neuroscience Timing is an essential component of information in the brain. Many brain circuits transform the temporal sequence of input activity into spatial maps of inputs as seen in sensory circuits and circuits for cognition, such as entorhinal cortex and cereXenopus optic tectum provides an excellent system to analyze how temporal information is transformed into spatial information. The visuotopic map in the tadpole tectum is continually updated by visual input activity to accommodate developmental changes in the size of the tectum and the size and position of the eyes (Experience-dependent plasticity of the visuotopic map in the eyes . With fothe eyes . FurtherN-methyl-D-aspartate receptors (NMDARs) are highly conserved voltage-dependent calcium-permeable ionotropic glutamate receptors that function in diverse plasticity mechanisms across species positioned to stimulate both eyes sequentially with a 15-ms interval between the left and right eyes at 11\u00a0Hz. We choose the 15-ms interval because sequential stimuli with a 15- to 20-ms interval induced the most consistent branch tip shifts in our previous study to produce a graded decrease in the amplitude of NMDAR currents. We stimulated the optic nerve A measureChanges in branch dynamics and stability contribute to experience-dependent structural plasticity in sensory inputs during map refinement. Correlated convergent input activity stabilizes axon branches, whereas inputs that are not correlated are destabilized . Data inTo address this question, we analyzed the branch dynamics in axons imaged in the experiment described above. Dynamic branches were categorized as added, transient, and lost, as shown in Axon arbors have many branch points, each of which gives rise to two sub-arbors A. A spatThe inverted branch tip shift in 5\u00a0\u03bcM APV indicates that the amplitude of the NMDAR current is sufficient to control the direction of branch tip shift. This suggests that information required for the temporal to spatial transformation is encoded by the amplitude of NMDAR response in a manner such that a larger response drives a rostral shift in branches. Alternatively, the spatial information may not be mediated directly by the amplitude of the NMDAR signal and the NMDAR signal could modulate other signaling pathways that mediate the structural plasticity. To distinguish these alternatives, we tested whether decreasing of the strength of NMDAR activity in one of the convergent retinotectal pathways would produce a shift in the distribution of axon branches when both input pathways are stimulated simultaneously. To attenuate NMDAR responses in one of the two retinotectal pathways, we employed the use-dependent NMDAR antagonist MK801 . We treaXenopus optic tectum to analyze the transformation of the temporal sequence of RGC activity into the spatial order of axons in the tectum. Our results show that NMDAR activity translates the temporal sequence of afferent activity into the spatial representation of retinotectal axon arbors. NMDARs are recognized to play essential roles in several forms of plasticity operating over different timescales .For correspondence or materials, contact Hollis Cline , \u201cSTS transformation-2\u201d, Mendeley Data, V1, All methods can be found in the accompanying"}
+{"text": "A coring technique is an effective strategy to overcome short linear segmental chronic occlusions in subclavian veins caused by previously implanted leads. We present the case of an 82-year-old male who was transferred from a primary care center for consideration for implantable cardioverter-defibrillator placement following an episode of sustained monomorphic ventricular tachycardia and hemodynamic compromise that required direct-current cardioversion. A coring technique was successfully used in this patient. The patient was noted to be right-handed and functionally active; he reported preferring to keep the device on his left side. Following discussion about the potential options, such as lead extraction and reimplantation and coring recanalization, the patient opted for the latter. Therefore, we proceeded with the device upgrade on the left side using a coring recanalization technique.An 82-year-old male was transferred from a primary care center for consideration for implantable cardioverter-defibrillator (ICD) placement after experiencing an instance of sustained monomorphic ventricular tachycardia (MVT) and hemodynamic compromise that required direct-current cardioversion. He was known to have ischemic cardiomyopathy and triple vessel coronary artery disease, having undergone coronary bypass grafting in 1993. His electrocardiogram showed left bundle branch block morphology. The patient had undergone dual-chamber permanent pacemaker implantation 10 years prior for high-grade atrioventricular block and was pacing-dependent. His most recent echocardiogram had shown severe left ventricular systolic dysfunction with an ejection fraction of < 30%. He was on optimum heart failure therapy with New York Heart Association class I symptoms and was not clinically fluid-overloaded. Based on the current American College of Cardiology/American Heart Association (ACC/AHA) and Heart Rhythm Society (HRS) guidelines, the patient was deemed to meet the criteria to receive a cardiac resynchronization therapy defibrillator (CRT-D) upgrade. A preprocedure venogram of the left subclavian vein showed a totally occluded vessel with collaterals filling antegradely . This maneuver was delicately repeated until the guidewire passed into the vessel lumen proximal to the stenosis. The Asahi Grand Slam guidewire (Abbott Laboratories) was confirmed on fluoroscopy as passing into the inferior vena cava and thus remaining intraluminal. The beveled needle was withdrawn and sequential short sheath dilators starting with the smallest caliber available [5-French (Fr)] were then used to dilate through the stenosis. Eventually, a 7-Fr splittable sheath was admitted over the guidewire through the stenosis and a single-coil Durata\u2122 lead was subsequently successfully implanted into the apical septum of the right ventricle . A further attempt to implant a left ventricular lead was not technically feasible; therefore, the CRT-D implantation was ultimately abandoned. The overall procedure time was two hours using 30 mL of contrast, with a fluoroscopy time of 21 minutes. The patient was discharged on optimum medical therapy and was stable at six months after the operation.The procedure was performed with a surgical backup while the surgeons were on-site. A beveled edge needle was advanced under fluoroscopic guidance into the subclavian/axillary vein intersection over the first rib using the stored cine venogram as a scout image. A contrast mixture was injected into the vessel through a side arm port to confirm a coaxial location with the lumen of the vein, and the tip of the puncture needle was then advanced into the occlusion. A high-support, nonhydrophilic (to avoid stripping of the coating) angioplasty guidewire was used as a battering ram for advancement judiciously into the organized thrombus and was then pulled back into the needle. The needle was subsequently telescoped over the guidewire, following the course plotted by the guidewire, and was kept parallel to the existing leads A coring technique is an effective strategy to overcome short linear segmental chronic occlusions in subclavian veins caused by previously implanted leads. This method avoids accessing the contralateral side and removes the need for using subcutaneously implanted ICD systems when vascular access is difficult or unattainable. Balloon angioplasty of these chronic occlusions may be suboptimal as the site of occlusion is prone to recoil. By \u201ccoring\u201d through the organized thrombus, a microchannel remains present to allow for the admission of an extra support wire."}
+{"text": "Increment in the levels of D-dimer, Fibrin Degradation Product (FDP) and decrement in antithrombin (AT) has been seen in patients with COVID-19. Changes in D-dimer and FDP were prominent in severe disease as compared to the mild group. Thrombin time has been detected as shorter in critical patients compared to controls.Our hypothesis is that probable mechanisms for the increased D-dimer in COVID-19 may be related to virus life cycle. The apoptotic processes target the endothelial cells of the vascular structure resulting in triggered coagulopathy and the ultimate result of increased D-dimer.1113 However, it can\u2019t always be explained simply because different viruses interfere with apoptotic pathways in different ways. It is our opinion that increased D-dimer may be the result of apoptotic endothelial cell induced coagulopathy. If apoptotic endothelial injury has a substantial role in pathogenesis, then we have to be concerned about the fate of large endothelial surface in the alveolar vascular bed of lungs. Uncontrolled apoptosis of alveolar endothelial cells can destroy oxygenation in different ways such as micro vascular apoptosis induced thrombi in the alveolar vascular bed and vascular fluid leaks to the lung tissue.Apoptosis is a programmed cell death and has a critical role in the life cycle of viruses. Viruses can\u2019t live without a host cell and after entering the host cell, they use its organelles to produce structures of virus. To keep alive the host cell, it is important for the virus replication phase after finishing this process, to kill a host cell. This gives an advantage to the virus which can leave the host cell and spread to microenvironments. It is probable that during infection, not only the virus interferes with the apoptotic pathway but also the immune system starts to interact with the apoptotic pathways. Killing infected cells during the replication phase is important.14 Li et al studied infectious bronchitis virus (IBV) which is another coronavirus that showed that IBV induces apoptosis at late stages of infection.15 Some studies investigated the virus induced apoptosis of endothelial cells. Sumikoshi et al demonstrated that human influenza virus can infect and induce apoptosis in the human umbilical vein endothelial cells (HUVECs).16 It is an important finding for apoptosis in human vascular endothelial cells, which may lead to other studies for COVID-19. Another interesting study performed by Anfasa et al showed that Zika virus (ZIKV) infected HUVEC demonstrated increased apoptosis, induction in tissue factor concentration and shortened thrombin generation tests.17 Increased levels of D-dimer and thrombosis were also clinically demonstrated in patients with ZIKV and Chikungunya.18 These all show us that viruses can infect the endothelium and trigger the secondary hemostasis.Swine acute diarrhea syndrome coronavirus (SADS-CoV) is a coronavirus that causes severe acute diarrhea. Zhang et al investigated the effects of pan-caspase inhibitors on SADS-CoV infected cells to see the role of apoptosis. They observed decreased SADS-CoV-induced apoptosis and reduced virus replication in SADS-CoV infected cells after the pan-caspase inhibitor.19 They reported that these apoptotic findings may help to understand the pathogenesis of acute lung injury in viral pneumonias.Armstrong et al studies infected human lung microvascular endothelium with human influenza virus. These lung cells underwent apoptosis and caused in an increase in vascular permeability. Inhibition of caspases decreased the influenza-induced endothelial leak.20 This finding brings us to whether or not to use angiotensin or AT2 receptor blockers which may help to prevent or recover from COVID-19 because SARS-CoV-2 uses ACE2 for entering to the targeted cells.21Another inspiring study showed that angiotensin-II-induced apoptosis in primary pulmonary endothelial cells uses AT2 receptor. This study found the results on the activation of intrinsic pathway of apoptotic pathway due to an increased release of cytochrome c from mitochondria and activation of caspase 9. Ongoing apoptosis was blocked by an inhibitor of apoptotic protein Bax.22There is a probability that after entering the cell, SARS-CoV-2 may start the apoptotic processes in the lung microvascular bed endothelium or coronary endothelium or tissue cells which carry ACE2 receptors. We feel that the microvascular pathology can explain this virus\u2019s different clinical pictures due to tissue damage caused from vascular damage. There is also a risk for other tissue cells that carry ACE2 receptor for apoptotic damages and organ failures. There are supportive histological clues in humans on the results of ongoing apoptosis in endothelial cells. Varga et al showed apoptotic changes in endothelial cells, histologically in COVID-19.We believe that the relationship between COVID-19 and apoptotic pathways contributes to the observed focal pathogenesis in the lungs and is involved in the progression of severity of the observed acute respiratory distress syndrome. Drugs with anti-apoptotic properties may therefore be helpful in the management of these patients and merit further investigations."}
+{"text": "Chronic exposure to ethanol induces cumulative damage to the liver starting from fatty infiltration to cirrhosis depending on the dose and duration of exposure. The whole process leading to the development of alcoholic liver disease is very complex and the mechanisms involved are not fully understood. Among many experimental animal models, Lieber-DeCarli liquid diet provides moderate to severe pathophysiological outcome depending on the compositional changes. In the present study, we investigated the temporal changes in the early phase hepatic disease in rats fed with standard Lieber-DeCarli diet. Male Wistar rats were fed with Lieber-Decarli ethanol diet for 6 weeks and the liver samples were obtained after 2, 4 and 6 weeks. Mild fatty infiltration was observed in 2 weeks of feeding and it became evident in 4 and 6 week samples. The level of hepatic triglyceride showed a good agreement with the data obtained in the pathological analysis. Feeding mice with ethanol diet resulted in the maturation and translocation of SREBP-1 to nucleus in the liver. Western blot analysis of the pooled liver sample of control and ethanol fed animals showed a clear-cut time-dependent increase in the expression of nSREBP-1. These data provide important information for selecting proper time point in experimental intervention study in the field of drug development for alcoholic liver disease."}
+{"text": "An otherwise healthy 49-year-old man presented to the emergency department with complaint of a 3-day history of abdominal bulging in the sHerpes zoster is characterized by clustered maculopapular and vesicular lesions along a dermatome as a result of reactivation of varicella zoster virus in the dorsal root ganglia of peripheral nerves. An infrequent complication is postherpetic pseudohernia which arises when the anterior root ganglia is involved, thus provoking muscular paralysis . Differe"}
+{"text": "Smartphones affect everyday life of people across the lifespan with increasing relevance in later life. Although half of older adults in Germany (65+) use smartphones and the numbers of users are growing, only few studies address the integration of older adult\u2019s smartphone use in everyday life as well as its potential effects on social context and wellbeing, which is been done in this study. Data are drawn from surveying the devices of 35 older adults , allowing to objectively monitor real time smartphone use over the course of a regular week. In addition a semi-standardized ambulatory assessment procedure is administered four times a day to capture the everyday situation of smartphone use as well as aspects of user experience, affect and social context. Preliminary findings show inter- and intra-individual differences in everyday smartphone use in relation to individual differences in social context and wellbeing."}
+{"text": "By emphasising the internal-external security nexus inherent in democratic security, the US could aspire again to lead through the example of its democracy\u2019s resilience and ability to self-correct."}
+{"text": "Racial/ethnic disparities have been well documented in long-term care literature. Culture change is a movement to transition nursing homes to more home-like environments to improve the quality of care for all residents. The purpose of this study was to examine how the involvement of culture change initiatives among high Medicaid facilities was associated with nursing home quality. The study relied on both survey and secondary nursing home data for the years 2017-2018. The sample included high Medicaid facilities. The final model consisted of an ordinal logistic regression. High-Medicaid nursing homes with six or more years in culture change initiatives had higher odds of having a higher star rating, while facilities with one year or less had significantly lower odds of having a higher star rating. Culture change initiatives may require some time to effectively implement, but these initiatives are potential mechanisms to improve quality in high Medicaid nursing homes."}
+{"text": "Deirdre Harrington and Michelle O'Reilly discuss the article \"Effectiveness and cost-effectiveness of the GoActive intervention to increase physical activity among UK adolescents: A cluster randomised controlled trial\" by Kirsten Corder and colleagues. The coronavirus disease 2019 (COVID-19) pandemic has illuminated the chasm of societal inequality and vulnerability within the United Kingdom concurrently highlighted by the February 2020 Marmot Review , and, ofResearchers also recognise the attractiveness of the school setting for applying research-driven solutions to childhood physical inactivity because the majority of young people can be easily reached. Evaluation of school-based physical activity programmes using the rigid cluster randomised controlled trial (RCT) design aim to contribute high-quality evidence on approaches to tackling physical inactivity. The National Institute for Health Research (NIHR) in the UK is one funder that has invested significant funds in large school-based cluster RCTs . These trials overcame methodological weaknesses identified in previous systematic reviews by havinPLOS Medicine special issue [The Corder and colleagues paper in this al issue is the lal issue , issues Despite the methodological quality of this and previous trials, effectiveness (through the narrow definition of positively affecting the primary outcome) has been limited. Little new knowledge of what works, or clear results that have led to policy or provision change, has been produced from these trials. It is clear that doing more of the same will not lead to the creation of new knowledge relevant to stakeholders. This is particularly pertinent because the Corder publication coincides with the crest of the COVID-19 pandemic\u2014a global issue that means researchers and funders are likely to be forced to reassess their priorities and approach.The general area of \u2018health, sport and physical education\u2019 in schools is commonly used as a vehicle to address public health or societal \u2018problems\u2019 . UK PrimThe research world has quickly mobilised and repurposed studies to tackle the COVID-19 pandemic including research on how health behaviours and outcomes, such as physical activity, have changed. School-based physical activity research too will likely change. The need for social distancing and enhanced personal hygiene practices would pose practical challenges if we imagine planning the GoActive study methods in the COVID-19 era.The Corder trial employed a cluster RCT design that required large amounts of data collected during a narrow time frame to fit in with the academic calendar . This is done by teams of research staff travelling together, sharing equipment, and co-operating in settings the researchers often have little control over. Collection of outcome data such as waist circumference requires close proximity between research staff and participants. The rapid deployment, use, and collection of body-worn physical activity measurement devices would require careful hygiene procedures. Research staff would facilitate large groups of pupil participants completing extensive questionnaire booklets in packed classrooms. The willingness to engage in these data collection methods will largely be down to the researchers\u2019 own personal assessments of risk and that of the school.As the world still reels from the effect of the COVID-19 pandemic, there is an impending threat of triple inertia: that funders may stop funding school-based physical activity research, that academics may flounder under the weight of evidence lacking effectiveness, and that stakeholders will have new priorities resulting in limited physical activity research opportunities with schools.The stark and transparent light of COVID-19 provides the UK government a real chance to tackle health inequality and to reinstate local government public health and education funding that schools rely on. This would provide schools with adequate financial and human resources to develop bespoke physical activity programmes. These practice-driven programmes are more likely to suit the needs and preferences of the school\u2019s own pupils and account for and listen to adolescents\u2019 perspectives as well as other key stakeholders. This would open up the opportunity for pragmatic and flexible evaluation of these practice-led programmes in schools allowing researchers to move away from RCTs and towards more realist methodol"}
+{"text": "Diabetes can elicit direct deleterious effects on the myocardium, independent of coronary artery disease or hypertension. These cardiac disturbances are termed diabetic cardiomyopathy showing increased risk of heart failure with or without reduced ejection fraction. Presently, there is no specific treatment for this type of cardiomyopathy and in the case of type I diabetes, it may start in early childhood independent of glycemic control. We hypothesized that alterations in isolated myocyte contractility and cardiac function are present in the early stages of experimental diabetes in rats before overt changes in myocardium structure occur. Diabetes was induced by single-dose injection of streptozotocin (STZ) in rats with data collected from control and diabetic animals 3 weeks after injection. Left ventricle myocyte contractility was measured by single-cell length variation under electrical stimulation. Cardiac function and morphology were studied by high-resolution echocardiography with pulsed-wave tissue Doppler imaging (TDI) measurements and three-lead surface electrocardiogram. Triglycerides, cholesterol and liver enzyme levels were measured from plasma samples obtained from both groups. Myocardial collagen content and perivascular fibrosis of atria and ventricle were studied by histological analysis after picrosirius red staining. Diabetes resulted in altered contractility of isolated cardiac myocytes with increased contraction and relaxation time intervals. Echocardiography showed left atrium dilation, increased end-diastolic LV and posterior wall thickness, with reduced longitudinal systolic peak velocity (S\u2019) of the septum mitral annulus at the apical four-chamber view obtained by TDI. Triglycerides, aspartate aminotransferase and alkaline phosphatase were elevated in diabetic animals. Intertitial collagen content was higher in atria of both groups and did not differ among control and diabetic animals. Perivascular intramyocardial arterioles collagen did not differ between groups. These results suggest that alterations in cardiac function are present in the early phase in this model of diabetes type 1 and occur before overt changes in myocardium structure appear as evaluated by intersticial collagen deposition and perivascular fibrosis of intramyocardial arterioles. The incpression . The profunction .In vivo cardiac function was assessed in diabetic and control animals by ECG and high-resolution echocardiographic imaging. Echocardiographic findings showed reduced systolic peak velocity (S\u2019) pointing to reduced segmental longitudinal systolic function accompanied by changes in cardiac morphology, with increased LA dimension in diabetic compared to control rats. Increase in LA diameter may be related to increased LV stiffness and end-diastolic pressure.Alterations in atrial conduction with prolonged action potential were first observed in electrically stimulated isolated atria after 1 week of STZ injection in rats . IncreasIt is of note that the wider P-wave observed in our study in diabetic animals was concomitant to an increase LA dimension . FurtherIn our study diabetic rats showed an increase in plasma levels of hepatic aspartate aminotransferase and alkaline phosphatase, which may suggest hepatic damage induced by diabetes .We found increased levels of plasma triglycerides in diabeWe observed no differences in collagen content in the interstitium and in the perivascular area of diabetic animals when compared to controls. This suggests that, at such an early stage, the observed changes in contractility may not involve increase in wall stiffness from collagen deposition, as is usually reported in later periods of this animal model of T1DM. The presence of interstitial fibrosis and perivascular myocardial fibrosis is a common finding after 8 weeks of STZ injection and it is usually considered an important factor in the reduced contractility seen in the later stages .al. [In one of the few studies that address early stages of the T1DM STZ-model, Becher et al. found reWe found significant decreases in both contractile and relaxation parameters in the isolated cardiomyocytes from diabetic animals, which are the most relevant functional alterations observed at this stage. Impairment of electrical conductivity from changes in interstitial collagen are not likely a relevant event at this stage as well. However, the observed increase in left atrial dimension may be associated to the appearance of other electrical disturbances.One limitation of this experimental model, especially if results are to be applied to therapeutic strategies, is the short duration of the diabetic state which is substantially different than the slowly and accumulating damage of diabetes in humans. T1DM is a chronic disease that develops over years even with strict glycemic control and insulin therapy. Another relevant limitation is the lack of comparison with other time-points in the same animals, which would further corroborate our findings.In conclusion, the present study demonstrates reduced systolic function with impaired myocyte contractility in early-stage type-1 diabetic rats, which is attributed to the effects of diabetes at the cardiomyocyte level. The data suggest that alterations in longitudinal systolic heart function observed in diabetic animals are associated to the prolonged time course of shortening and relaxation of isolated ventricular myocyte. The changes observed in isolated myocytes may represent the initial cellular substrate for diabetic cardiomyopathy, already manifested in an early phase of DM in this experimental model. We found early functional changes, including contraction abnormalities in isolated cells, systolic alterations in vivo and changes in duration and variability of P wave in ECG, occurring before signs of interstitial and ventricular perivascular fibrosis. This may indicate that the present STZ model may be suitable to investigate the initial phase of DCM, the pathophysiological mechanisms involved and possible effects of drug interventions."}
+{"text": "Discoveries of adaptive gene knockouts and widespread losses of complete genes have in recent years led to a major rethink of the early view that loss-of-function alleles are almost always deleterious. Today, surveys of population genomic diversity are revealing extensive loss-of-function and gene content variation, yet the adaptive significance of much of this variation remains unknown. Here we examine the evolutionary dynamics of adaptive loss of function through the lens of population genomics and consider the challenges and opportunities of studying adaptive loss-of-function alleles using population genetics models. We discuss how the theoretically expected existence of allelic heterogeneity, defined as multiple functionally analogous mutations at the same locus, has proven consistent with empirical evidence and why this impedes both the detection of selection and causal relationships with phenotypes. We then review technical progress towards new functionally explicit population genomic tools and genotype-phenotype methods to overcome these limitations. More broadly, we discuss how the challenges of studying adaptive loss of function highlight the value of classifying genomic variation in a way consistent with the functional concept of an allele from classical population genetics. Views on loss-of-function mutations\u2014those abolishing a gene\u2019s biomolecular activity\u2014have changed considerably over the last half century. Early theories of molecular evolution that emerged during the 1960\u2019s and 1970\u2019s saw little potential for loss-of-function mutations to contribute to adaptation , mutation rate of an adaptive allele (u), and selection coefficient on that adaptive allele (s), the expected number of mutationally independent alleles of the locus that will be observed in a population at the moment of allele fixation (k), a unit of allelic heterogeneity, is predicted per generation (Muller \u22128 to 10\u221210 mutations (change in sequence) per site per generation from related species rather than polymorphic (Pn) within the study species. When genes putatively experiencing adaptive loss of function are investigated, they are often found to have high NI values scans in natural populations have become a popular alternative to conventional mapping in an experimental population derived from a bi-parental cross. GWA is normally implemented by testing for associations between individual DNA sequence variants in a population and the phenotype of interest. This statistical framework can fail to detect causal loci in the presence of allelic heterogeneity because none of the individual variants are linked to a single causal variant\u2014an assumption of single-locus two-allele population genetic models (Korte and Farlow A. thaliana identified cases of likely loss-of-function differences between genotypes, a conventional GWA looking for loci explaining variation in plant height failed to detect the GA-20 oxidase locus in A. thaliana (Barboza et al. The case of the GA-20 oxidase gene in plants provides a useful illustration of these challenges. This well-studied gene is involved in gibberellin biosynthesis and loss of function produces semi-dwarf phenotypes in wild plants and crop varieties of the Green Revolution Fig. Spielme. While fSLC30A8 was found to be strongly associated with decreased risk of type 2 diabetes when all loss-of-function variants were collapsed into a single allele state (Flannick et al. To date, such a framework has been primarily used in the study of rare variants (Wu et al. A functionally explicit GWA framework may have value beyond scanning genomes for causal loss-of-function alleles. More broadly, it reflects a step toward representing genetic diversity as a matrix of functionally relevant genetic alleles rather than a matrix of DNA sequence variants. While loss of function is currently the easiest allele state to classify, we anticipate that more nuanced and precise allele categories can be identified through analyses of population genomic diversity with advances in sequence annotation. Ideally, these categories would specify the activity of an allele along a scale that reflects Muller\u2019s original categories of amorphic, hypomorphic, hypermorphic, antimorphic, and neomorphic states Muller . In addiLoss-of-function alleles were once often held up as a paragon of deleterious genetic variation. Today a more nuanced appreciation for their potential role in adaptation has emerged. This new paradigm inspires investigations into deeper questions about the causes and consequences of adaptation by genetic loss of function. For example: Do species or populations differ in their capacity to adapt via loss of function, and if so, why? Does the high effective mutation rate of loss-of-function alleles lead to bias in the probabilities of different evolutionary outcomes? What is the contribution of adaptive loss of function to the phenomena of antagonistic pleiotropy and reproductive isolation? How does adaptation by loss of function affect long term evolutionary trajectories of populations and future evolvability? Ongoing technical breakthroughs promise to scale up the study of loss-of-function alleles experiencing positive selection for population genomic research to address these questions. More broadly, these lines of research provide paths toward advancing tools and concepts that facilitate a continued synthesis between functional molecular genomics and classic population genetic theory."}
+{"text": "Blood vessel sprouting from pre-existing vessels or angiogenesis plays a significant role in tumour progression. Development of novel biomolecules from marine natural sources has a promising role in drug discovery specifically in the area of antiangiogenic chemotherapeutics. Symbiotic actinomycetes from marine origin proved to be potent and valuable sources of antiangiogenic compounds. Zebrafish represent a well-established model for small molecular screening and employed to study tumour angiogenesis over the last decade. Use of zebrafish has increased in the laboratory due to its various advantages like rapid embryo development, optically transparent embryos, large clutch size of embryos and most importantly high genetic conservation comparable to humans. Zebrafish also shares similar physiopathology of tumour angiogenesis with humans and with these advantages, zebrafish has become a popular model in the past decade to study on angiogenesis related disorders like diabetic retinopathy and cancer. This review focuses on the importance of antiangiogenic compounds from marine actinomycetes and utility of zebrafish in cancer angiogenesis research. Danio rerio; Angiogenesis; Actinomycetes; Bioactive molecules; Transgenic model; Xenograft model; Biotechnology; Genetics; Proteins; Pharmaceutical science; Biomedical engineering; Molecular biology; Cancer research; Developmental biology; Toxicology In t2Marine sources are rich in secondary metabolites and there are many compounds reported to possess anticancer properties. In a recent review, it has been elucidated that more than 45 compounds from marine origin are shown to have antiangiogenic potential and 10 of them have already entered clinical trials at different phases for cancer therapy . These cActinomycetes are filamentous Gram-positive bacteria which belongs to the phylum Actinobateria, are considered to be the largest group in the bacterial domain . Bioacti3Zebrafish model is widely used in angiogenesis study as the circulation starts after 24 hours post-fertilization (hpf), and the vascular system bears a strong similarity to that of humans. In the early embryonic development, blood vessels and organ formation can be easily visualized in the transparent embryos and larvae of both wildtype and transgenic species making it a viable model for angiogenesis research . Therefo3.1in vivo imaging capabilities of zebrafish larvae and embryos. A dissecting microscope is sufficient to visualize the blood flow and vessel development in early embryos and larvae, yet tissue specific expression of fluorescent proteins is required to study the vasculature in detail - INSPIRE [DST/INSPIRE/04/2018/003392] and DST- Science & Engineering Research Board (SERB) - National Postdoctoral Fellowship [File Number: PDF/2016/003879].This work was supported by No data was used for the research described in the article.The authors declare no conflict of interest.No additional information is available for this paper."}
+{"text": "The image of modern aging had changed. While before ageing was associated with degenerative processes, today more older adults become active and meaningful members of the society. Still more knowledge is needed to help the majority of older adults to age in active and positive way. Solid body of research shows that in ageing the value of subjective factors dramatically increases. Gerotranscendence that suggests important positive personality changes to occur in aging, could be one of such mechanisms. The aim of the present study was to investigate which psychological characteristics were important for development of gerotranscendence and which positive outcomes it might cause. Participants were 200 older adults aged 60-89 . Methods: Gerotranscendence scale (Strizhitskaya), self-actualization test (Shostrom), Self-acceptance test (Pantileev), Psychological well-being scale (Ryff), Scale of social activity (Strizhitskaya). Our results confirmed in consistence with literature that higher scores on self-acceptance and self-actualization favored development of gerotranscendence. We also found that developed gerotranscendence positively affected psychological well-being. New in our research was that we showed that people who demonstrated higher scores on gerotranscendence were more interested in maintaining social activities; they were interested in participation in social life of their community and were trying to continue active and meaningful social participation. The final model fitted the original data . Thus gerotranscendence had positive effects on older adult\u2019s functioning and social participation."}
+{"text": "Resident glial cells can be reprogrammed into neuronal progenitors and mature neurons in the CNS of adult mammals. In this review article, we briefly summarize the current knowledge on innate adult neurogenesis under pathological conditions and then focus on induced neurogenesis through cell fate reprogramming. We discuss how the reprogramming process can be regulated and raise critical issues requiring careful considerations to move the field forward. With emerging evidence, we envision that fate reprogramming-based regenerative medicine will have a great potential for treating neurological conditions such as brain injury, spinal cord injury (SCI), Alzheimer\u2019s disease (AD), Parkinson\u2019s disease (PD), and retinopathy.The adult mammalian central nervous system (CNS) has very limited regenerative capacity upon neural injuries or under degenerative conditions. In recent years, however, significant progress has been made on A functional central nervous system (CNS) consists of both neurons and glial cells. While neurons are responsible for generating and communicating electrical and chemical signals essential for neural networks, their activities are supported and modulated by surrounding glial cells Rasband, . Both neNew neurons can be generated in the adult mammalian brain through a process of neurogenesis, which is positively or negatively regulated by pathological conditions of the lateral ventricle and the subgranular zone (SGZ) of the hippocampal dentate gyrus triggers rapid cell death predominantly in the cerebral cortex followed by secondary tissue loss in the hippocampus. TBI-induced changes in adult neurogenesis are well observed in rodents and four microRNAs , the stem cell factor SOX2 was identified to be sufficient to reprogram resident astrocytes into functional neurons in the adult mouse striatum , cells resembling induced pluripotent stem cells (iPSCs) could be induced from reactive glial cells in the injured cortex was shown to be sufficient to reprogram mouse fibroblasts and astrocytes into dopaminergic neurons in culture was delivered into the ipsilateral striatum and in combination with electromagnetic gold nanoparticles (AuNPs) and the presence of specific electromagnetic fields, Yoo et al. , striatal astrocytes were reported to be directly converted into dopaminergic neurons when a cocktail of four transcription factors lead to the disruption of neural circuits and the loss of propriospinal neurons. The addition of new neurons may well serve as relays that could form neural circuits for functional improvements. Ectopic expression of Ascl1 in young transgenic mice renders MGs to generate retinal neurons including amacrine and bipolar cells and photoreceptors after injury are the major glial cells in the retina, an integral part of the mammalian CNS that lacks any neurogenesis under both physiological and pathological conditions. Ectopic Otx2, Crx, and Nrl in these activated MGs allows them to produce rod photoreceptors, which are capable of restoring visual responses in a mouse model of congenital blindness , cell signaling, and apoptosis , the attached sequences (such as GFP vs. reprogramming factors) can significantly affect cell specificity, consistent with a previous report in transgenic mice (Su et al., The cell origin for the induced neurons requires thorough investigation and confirmation. Unlike in vivo reprogramming process. The neurogenic factor Ascl1 and the nuclear receptor Tlx are found to be essential mediators of SOX2-dependent reprogramming of astrocytes in the adult brain (Niu et al., in vivo screens, the p53-p21 pathway was identified to function as a critical checkpoint for glial reprogramming in the adult mouse spinal cord (Wang L. L. et al., Neurog2-mediated direct neuronal reprogramming can be remarkably promoted by a cocktail of growth factors or coexpression of Bcl-2 and anti-oxidative treatments in the adult brain (Grande et al., Neurod1 is accompanied by changes in the epigenetic landscape, which gradually leads to loss of microglial traits and acquisition of neuronal identity (Matsuda et al., Ascl1 to convert adult MGs into neurons in the injured retina (Jorstad et al., in vivo conditions. For example, both mouse fibroblasts and astrocytes can be efficiently reprogrammed into dopaminergic neurons in culture (Addis et al., Emerging evidence indicates that multiple pathways regulate the Neurog2 and Nurr1 reprograms adult astrocytes into diverse neuronal subtypes with cortical layer-specificity and precise long-distance axonal projections (Mattugini et al., Neurod1 in the adult cortex with or without prior injury (Chen et al., Neurod1 can efficiently reprogram both astrocytes and microglia into mature striatal neurons (Matsuda et al., Ptbp1 (Weinberg et al., Neurod1? Since most, if not all, of the developmental cues for axon guidance, are diminished in the adult CNS, how do these newly reprogrammed neurons make precise axonal projections especially after neural injuries? Answers to these questions will provide critical insights into the cellular mechanisms for neural reprogramming in vivo.Intriguingly, various glial cells can be efficiently reprogrammed by diverse factors into brain region-specific neuronal subtypes. For example, a combination of In vivo neural reprogramming has shown promising biological functions for stroke-induced brain injury (Chen et al., In vivo neural reprogramming has achieved impressive progress, ranging from generation of diverse glia-converted neurons in multiple CNS regions to functional improvements for certain neurological conditions. Such a reprogramming-based approach may kill two birds with one stone: regeneration of functional neurons and modulation of pathological microenvironment. Nonetheless, efforts should be taken to vigorously validate the cell origin for the claimed new neurons and to tease out the molecular and cellular mechanisms underlying the reprogramming progress. The results of these efforts will lay a solid scientific foundation to move in vivo cell fate reprogramming towards neural repair.WT and C-LZ wrote the manuscript and X-MX commented on the manuscript.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "The ability to extinguish fear memories when threats are no longer present is critical for adaptive behavior. Fear extinction represents a new learning process that eventually leads to the formation of extinction memories. Understanding the neural basis of fear extinction has considerable clinical significance as deficits in extinction learning are the hallmark of human anxiety disorders. In recent years, the dopamine (DA) system has emerged as one of the key regulators of fear extinction. In this review article, we highlight recent advances that have demonstrated the crucial role DA plays in mediating different phases of fear extinction. Emerging concepts and outstanding questions for future research are also discussed. Learning to associate stimuli and situations with danger or safety is critical for survival and adaptive behavior. In the laboratory, these forms of learning are typically studied using Pavlovian fear conditioning and extinction. Fear conditioning is an example of associative learning in which an initially neutral stimulus such as a tone comes to elicit fear responses after being paired in time with an aversive outcome such as a foot shock . Once the CS-US association is learned, subsequently repeated presentations of the CS in the absence of the aversive US result in a gradual decrease in conditioned fear responses, a process known as fear extinction. In the last decades, fear extinction has attracted much interest in part because deficits in extinction learning are thought to underlie human anxiety disorders, such as post-traumatic stress disorder (PTSD) and phobias system has also emerged as an important mediator of fear extinction. DA is a neurotransmitter critically involved in a wide range of functions including reward learning, motivation, motor control, and cognitive functioning. DA neurons that are mainly located in the ventral tegmental area (VTA) and substantia nigra (SN) in the midbrain. DA receptors are metabotropic receptors that can be classified into two main types with the DA D1-type receptors (Gs-coupled) comprised of D1 and D5 and the DA D2-type receptors (Gi-coupled) comprised of D2, D3, and D4 subtypes could be conceptualized as an appetitive or reward-like prediction error. Thus, fear extinction may be mediated by the reward learning system , the main DA output region in the rodent ventral striatum, form the canonical reward circuitry Wise, , NAc conThe amygdala is a key structure underlying the acquisition and expression of fear extinction memories. Specifically, two subregions within the amygdala microcircuitry, the basolateral amygdala (BLA) and the intercalated cell masses (ITCs) are critically involved in fear extinction , which are a network of interconnected GABAergic cell groups located in the external and intermediate capsules surrounding the BLA. Notably, the ITCs located within the intermediate capsule are comprised of the dorsomedial (dmITCs) and ventromedial (vmITCs) clusters where dmITCs exert a unidirectional inhibitory control over vmITCs subregion of mPFC, is crucial for the consolidation of fear extinction memories during extinction learning are reactivated shortly after extinction during memory consolidation and the number of these reactivations predicts extinction memory strength when tested the next day. Importantly, systemic administration of L-DOPA enhances vmPFC reactivations in parallel to improving extinction memory (Gerlicher et al., While the studies summarized above highlight the crucial role DA plays in extinction memories, the source of DA release in the mPFC during fear extinction has not yet been identified. Anatomical studies demonstrate that the mPFC-projecting DA neurons are mainly located in the VTA (Lammel et al., Considerable progress has been made towards understanding the role DA plays in fear extinction. The studies reviewed above provide insights into how DA mediates different phases of extinction through its actions in the distinct components of the neural circuitry underlying fear extinction. The main conclusions and outstanding questions permitted from these studies are summarized in XS-H and SD wrote the manuscript. All authors contributed to the article and approved the submitted version.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "In this invited review Dr. Chung from Australia presented a good revision on Penile Prosthesis Implant (PPI) pointing to important technical aspects about this therapeutic option considering special populations.The author conducted a critical review of all relevant publications from Medline and Embase databases and included a brief review of surgical challenges and a practical action-based set of recommendations on surgical options.The risk of infection is still a matter and in diabetics it is more frequent and serious. Dr. Chung presented controversial numbers on ideal cut off value on HbA1c level and the lack of an evidence-based guideline published that precludes surgery above a certain value for HbA1c. He also stressed on the protective effect of antibiotic-impregnated implants . PostopeOther important special group is the one formed by spinal cord injury (SCI) men. Besides the fact that literature on the clinical outcomes of PPI surgery among neurogenic men is limited, Dr. Chung presented the question of which would be the best option for SCI patients: inflatable three-piece or the malleable or semi-rigid prosthesis, since they are often physically handicapped with poor hand dexterity, limited range of mobility, and muscle fatigue. On the other hand, the lack of sensation among SCI men may predispose those with a malleable implant to have a delayed identification and presentation of prosthetic complications . DiscussThe author also approached corporal fibrosis , and salvage PPI surgery, since those cases can pose a substantial technical challenge in terms of corporal dilation and they do have a greater risk of prosthetic complications, especially device infection and erosion."}
+{"text": "The main challenge for a positive long-term outcome in lung transplantation is the lack of early detection for chronic lung allograft dysfunction (CLAD). With advancements in technology, an increasing number of studies demonstrate that cell-free DNA (cfDNA) in body fluids could be used as a marker for disease diagnosis, prognosis or monitoring response to treatment. A previous report from this journal found the joint assessment of cfDNA and CXCL10 from brochoalveolar lavage (BAL) could determine the subphenotypes of CLAD and predict lung transplant survival. This is an exciting attempt in monitoring the progress for lung transplant recipients. More studies and better understanding of cfDNA are needed to develop an accessible and reliable biomarker to monitor the progress of CLAD to improve the long-term survival for lung transplant recipients. Lung transplantation is the treatment option for patients with end-stage lung diseases . CompareThere are many risk factors for developing CLAD after lung transplant, such as acute cellular rejection, lymphocytic bronchiolitis and antibody-mediated rejection . CLAD isFor the liquid biopsies of lung transplant, BAL from the lung transplant recipient would offer direct sampling of the cellular and molecular events from the anatomic site of lung allograft rejection. Attempts were made to identify markers from BAL fluid to detect allograft rejection ; howeverThe findings in this study are important as they offer new ways to establish biomarkers to monitor lung transplant recipients for developing CLAD. The survival rate in lung transplantation is about 6 years, which is behind other solid organ transplantations, and CLAD is the major impediment of survival . HoweverIn this study, cfDNA was measured by an ELISA-like kit . With th"}
+{"text": "Diagnosing and treating low back pain (LBP) is a worldwide major primary care challenge in which a differential diagnosis between non-specific LBP and conditions with a known pathology is essential for choosing the optimal treatment strategy. The time required for the diagnosis of a condition such as ankylosing spondylitis (AS) was previously found too long. However, a recently published paper by Bashir et al. found that distinct episodes of axial pain separated by more than 6 months seem more predictive than currently applied characteristics in reaching an early diagnosis of AS. With a global one-month point prevalence of 23.2%, low back pain (LBP) is a major health challenge across cultures . LBP is Clinical diagnosis of LBP based on the patients\u2019 history and clinical examinations is the key initial assessment by the first-line assessor of LBP\u2014often the general practitioner (GP). This triage determines the subsequent diagnostic workup and informs the future treatment plan for the patient, including involvements of allied health care providers and medical specialist referrals . The purAnkylosing Spondylitis (AS) is considered a relatively rare diagnosis in general practice . HoweverAmong the large group of patients with non-specific LBP, recent studies have found fear avoidance and other psychosocial factors predictive of worse outcomes when experiencing LBP , 18. WhiGood early predictors for AS have previously been difficult to identify . HoweverA newly published paper found that two distinct periods of axial pain is predictive of receiving an AS diagnosis. This can support clinicians in reaching earlier diagnoses of AS among patients with non-specific pain, and this finding is important to inform future research into the differential diagnosis of patients with fluctuating non-specific LBP."}
+{"text": "Synergistic associations between infection and nutrition are well known. Impact of nutrition interventions on the outcomes have been scientifically assessed and reported. The role of nutrition in limiting the infection related morbidity and mortality does not appear to be a debatable question but nutrition interventions do not appear to be an essential part of current COVID-19 management strategies. Given the nature of pandemic and lack of organism-specific evidence, variability in nutrition interventions and lack of nutrition interventions is not unexpected. However, delay in realization of the crucial need of nutrition interventions to limit the immediate and long term outcomes at personal and community level may aggravate health related issues that can have long term impact on quality of life and economy. Due to existing undernutrition and lack of nutrition related awareness and competence, need for timely and appropriate interventions is much more critical for developing countries. This manuscript highlights the need and feasibility of various nutrition interventions to assure optimum quality of life during and after COVID-19 pandemic. Available evidence provides enough guidance for nutrition interventions that are safe and promise to accrue various degrees of benefits with almost no likelihood of harm. Nutrition interventions suggested by author are: 1) population level efforts for promoting better use of existing resources; 2) quicker augmentation of nutrition status of high risk people and non-hospitalized cases by use of supplement and individualized guidance and 3) nutritional support of sever case by timely and adequate enteral and parenteral feeding. COVID-19 is a highly infectious disease caused by infection with a new strain of coronavirus identified in late 2019. Absence of vaccination and evidence-based treatment regimes, rapid escalation in cases; and need for hospitalization and mechanical ventilation of severe cases has made its management extraordinarily challenging.2The main strategy suggested by experts to deal with the pandemic to flatten the curve by slowing down the rate of transmission, specially to people at high risk of severe impact. Personal hygiene, voluntary social distancing and mandatory restrictions to distance people are the measures being stressed to reduce the rate of transmission.This manuscript highlights the available evidence to identify nutrition interventions that have potential to alleviate the negative impact of COVID-19 pandemic on developing countries like Pakistan.To explore the potential of nutrition interventions in supporting the management of COVID-19 available evidence regarding mechanism of COVID-19 infection and its clinical course sequel was retrieved form \u201cPubMed\u201d. All the evidence, and guidelines by professional association and expert\u2019s opinions about role of nutrition in managing COVID-19 was also studied. Evidence about role of nutrition in managing similar viral infections and similar pathophysiology was also reviewed. Search terms used included: \u201cCOVID-19 AND Nutrition\u201d, \u201cCOVID-19 AND food\u201d \u201cCOVID-19 AND Pakistan\u201d; \u201cViral Infections AND Nutrition\u201d \u201cViral Infections AND food\u201d.For estimating the feasibility and effectiveness of possible nutrition intervention in Pakistan information was retrieved from research databases and publications of international agencies and government of Pakistan. Search terms used included: \u201cViral Infections AND Pakistan\u201d \u201cNUTRTIONAL STATUS AND Pakistan\u201d \u201cDiet quality and Pakistan\u201d \u201cNutrition AND Pakistan\u201d.Evidence overwhelmingly supports the notion that nutrition can influence any person\u2019s ability to fight off viral infection.Development of vaccine to prevent COVID-19 could take more than year and even when developed its availability to all is not guaranteed. Recent reports of re-occurrence of infection in infected patients diminish hope for assured natural immunity. The high rates of morbidity and mortality highlight the need for additional public level strategies to support the immune system, so that the impact of the infection can be reduced.Impact of nutrition on immunity has been acknowledged for decades and mechanism of actions have been presented by many researchers. One simple presentation is quoted in Fig.112Moderate-quality evidence exists from both human intervention and observational studies to suggest that diet and individual nutrients can influence systemic markers of immune function and inflammation;6Lack of national and population level data about food and nutrient intake limits the opportunities for accurate assessment of micronutrient status of Pakistani population. Evidence available from small studies and food balance sheets leaves no doubts about presence of multiple micronutrient deficiencies in a large section of the population.18\u201cStay home, wash hands and strengthen your immunity by healthy diet, exercise and relaxation\u201d; \u201cno matter how healthy you are, for stopping entry of the virus you need to stay at home and wash hands; but once the virus enters your body, the strength of body\u2019s defense system decides the outcome and by eating healthy we can strengthen our immune system\u201d. Descriptions of healthy diet can be given in more detailed messages.In Pakistan, Micronutrient status of a high proportion of people can be improved simply by modifying food choices, food preparation methods, meal planning and within household food distribution. A brief list of required modifications is given in Mobile-health-interventions are observed to be effective in promoting behaviours change in many health and nutrition related behaviors in lower income groups in other countries.22For optimizing immune status, Calder et al on the basis of recent review recommend a multivitamin and mineral supplement that supplies the basic micronutrient requirements (e.g. RDA) for vitamins and minerals in addition to the consumption of a well-balanced diet. They allow supplementation above the RDA, but within recommended upper safety limits, for specific nutrients such as vitamins C and D and intake of 250 mg EPA + DHA per day.In addition to consumption of a healthy diet, provision of nutrition support by concentrated food sources and supplements to confirmed or suspected cases of COVID-19 can help in reducing hospital visits and hospitalizations. Use of hydration solutions, concentrated forms of high-energy, high-protein, micro-nutrient rich diet and use of nutrition supplements may be needed for symptomatic non-hospitalized patients.\u201cNutrition intervention and therapy needs to be considered as an integral part of the approach to patients victim of SARS-CoV-2 infection in the ICU setting, internal medicine ward setting as well as in general healthcare.\u201d because \u201cOptimal outcome can be improved implementing adherence to recommendations to ensure survival of this life-threatening disease as well as better and shorter recovery\u201d. ASPEN recommends nutrition screening of all high-risk patients of CVOID-19 and patients found to be malnourished should seek diet counselling form expert professionals, sufficient supplementation with vitamins and minerals, oral nutritional supplements (ONS), early enteral feeding and parenteral nutrition where provision of adequate amount of required feeds is not feasible via enteral nutrition.Regarding nutrition care of COVID-19 in health care facilities ASPEN states: This paper has reviewed available evidence that could assist in estimating the potential of nutrition in reducing the impact of COVID-19 infection. The findings strongly support the role of nutrition in reducing COVID-19 related morbidity and mortality in any population but opportunities for utilization the potential of nutrition are much greater in malnourished people.As low resource countries have very limited ability to manage critically ill cases of COVID-19, there is a dire need for improving the immunity of people by all available approaches including nutrition. Integration of nutrition interventions in COVID-19 pandemic-response strategies in urgently required in developing countries like Pakistan.Nutrition interventions suggested by author are: 1) population level efforts for promoting better use of existing resources; 2) prompt improvement of nutritional status of high risk people and non-hospitalized patients by use of supplements and individualized guidance and 3) nutritional support of severely ill patients through timely and adequate enteral and parenteral feeding.Similar concerns and suggestion have been shared by other nutrition experts from relatively more developed countries.26"}
+{"text": "These scientific advances associated with the use of developmental manipulations in the immature brain of animal models are the basic preclinical systems that will allow the future translatability of timely interventions into clinical applications for neurodevelopmental disorders such as intellectual disability, autism spectrum disorders (ASD) and schizophrenia.Critical periods of brain development are epochs of heightened plasticity driven by environmental influence necessary for normal brain function. Recent studies are beginning to shed light on the possibility that timely interventions during critical periods hold potential to reorient abnormal developmental trajectories in animal models of neurological and neuropsychiatric disorders. In this review, we re-examine the criteria defining critical periods, highlighting the recently discovered mechanisms of developmental plasticity in health and disease. In addition, we touch upon technological improvements for modeling critical periods in human-derived neural networks Normal brain function results from a conserved sequence of developmental processes of cell division, migration, network formation and maturation, directed by intrinsic genetic programs as well as by environmental and systemic cues, extrinsic to the nervous system. Within this sequence, appropriate stimuli induce events of heightened plasticity that are required to develop a given function. This capacity of the brain to reorganize during unique developmental time windows in adaptation to the environment has been termed \u201ccritical period.\u201dFmr1 knock out model of Fragile X syndrome .In the form of electrical activity, experience during development drives the structural and functional organization of neural connectivity 13.5, the ability of apical progenitors to revert to an earlier neurogenic competence and to generate early-born Cajal-Retzius cells, instead of deep-layer pyramidal neurons could have a different impact on the dimensionality of neural responses than changes in connectivity patterns . Currently, it is unclear how programmed cell death of postnatal neurons precisely influences information processing in the cerebral cortex. However, initial studies performed in mice demonstrate that manipulating the number of excitatory pyramidal neurons in the cerebral cortex results in permanent consequences for brain function and behavior. Glutamatergic neuron overproduction as well as increased glutamatergic neuron apoptosis result in altered motor learning, hyperactivity or phenotypes reminiscent of autism-like traits and Bcl2 antagonist/killer (Bak) render specific cell populations susceptible to undergo cell death during brain development displaying abnormal GABA polarity in the hippocampus (excitatory GABA instead of inhibitory), until very late in brain development . These efforts normalized somatosensory whisker-evoked responses and GABA polarity in the mouse hippocampus of the FXS mouse model brain organoids, derived from human induced pluripotent stem cells (iPSCs), resolved the long-standing limitations of a 2D approach and provide unprecedented opportunity to understand neurobiological mechanisms of human brain development in health and disease. Currently, 3D brain organoids have a demonstrated validity to model basic features of the human embryonic neural tissue and critical steps of early brain development such as neurogenesis, neuronal migration and neuroanatomical features\u2014upper and deep layer neurons\u2014specific of brain tissue . ALI-COs have been useful in the generation of brain organoids with specific features more reminiscent of in vitro brain organoid systems to model critical periods require further systematic efforts to reliable model the emergence of network activity patterns and new approaches that mimic environmental influences together with techniques tailored to measure their long-term consequences in organoid culture conditions. So far, brain organoid preparations display spontaneous neural activity in a dish faces many technical challenges and will probably require of brain assembloid technology. Brain organoid preparations containing photoreceptor-like cells and forebrain-like structures, display neural activity in response to light stimuli (Quadrato et al., Critical periods hold potential to reinstate brain function. We provide a perspective on how the different aspects of critical period research paves the way for potential disease-modifying therapeutic strategies in neurodevelopmental disorders. Timely interventions during specific developmental windows restore network activity or behavior in animal models, thus reinforcing the notion that critical episodes of developmental plasticity can be used as unique windows of therapeutic opportunity to reorient pathophysiological states towards a \u201cnormal\u201d developmental path Mar\u00edn, . CriticaA key challenge to further understand the time-course of vulnerable periods during brain formation is the study of sex-specific differences. A wealth of data demonstrates that the critical period of sexual differentiation in the brain starts in the embryonic brain (from E16 to P4 in mice and second trimester in human; McCarthy et al., Finally, careful classification of vulnerable periods as \u201ccritical\u201d or \u201csensitive\u201d has implications beyond basic research. Policymakers, psychosocial therapies and educational aid programs for early childhood adversity should be guided by the scientific advances in critical period research (see recent review Nelson and Gabard-Durnam, ND and ID contributed equally.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "To examine how food insecurity is related to emerging adults\u2019 food behaviours and experiences of neighbourhood safety and discrimination and to identify resources needed to support their health during the COVID-19 outbreak.Rapid response online survey. Participants completed the six-item US Household Food Security Survey Module, a brief measure of food insufficiency, and measures of food behaviours, neighbourhood safety and discrimination. Open-ended questions were used to assess changes in eating behaviours during COVID-19 and needed resources.C-EAT (COVID-19 Eating and Activity over Time) study invitations were sent by email and text message to a longitudinal cohort.sd 2\u00b70) years, 70\u00b72 % female) completed a survey in April\u2013May 2020 during a stay-at-home order in Minnesota.A total of 218 emerging adults (mean age = 24\u00b76 (The past year prevalence of food insecurity was 28\u00b74 %. Among food-insecure respondents, 41\u00b70 % reported both eating less and experiencing hunger due to lack of money in the past month. Food-insecure respondents were less likely than those who were food secure to have fruits/vegetables at home and more likely to have frequent fast-food restaurant meals, feel unsafe in their neighbourhood and experience discrimination during the stay-at-home order. Food-insecure adults reported changes including eating more food prepared at home, eating more take-out restaurant meals and purchasing more energy-dense snacks as a result of events related to COVID-19. Resources most needed to support their health included eligibility for more food assistance and relief funds.Food-insecure emerging adults experience many barriers to maintaining healthful eating patterns during COVID-19. Federal and local policies and programmes that support equitable access to adequate food are critical to ensuring the health of populations and especially vulnerable groups impacted by public health emergencies such as the COVID-19 pandemic. The life course transition from adolescence to adulthood is a period of particular vulnerability for experiencing food insecurity and its impacts on health,9.Having a safe and dignified manner to access adequate food is a basic human right. The condition of food insecurity is associated with poorer health behaviours and compromised physical and mental well-being. The subgroups of emerging adults who reported unemployment, living with children of their own and an ethnic/racial identity of African American, Black or Native American were most likely to have experienced food insufficiency. These observed disparities among the emerging adults who were invited to participate in the present study are in line with disparities identified by national surveillance data for the overall US population. The disparities highlight the need for more attention to structural and racial barriers to health and their influence on susceptibility to food insecurity,12. Only a small number of studies have investigated linkages between neighbourhood safety, exposure to racism and experiencing food insecurity; however, the available evidence suggests that unsafe neighbourhood conditions and multiple forms of experiencing discrimination are likely to have substantial negative impacts on one\u2019s ability to access adequate food\u201316.A 2018 survey of the EAT 2010\u20132018 (Eating and Activity over Time) study cohort from Minneapolis\u2013St. Paul, Minnesota found that about one in four emerging adults (18\u201326 years) had experienced food insufficiency in the past year. National survey data indicate that the prevalence of food insecurity has recently doubled in the overall population and tripled among households with children as a result of many businesses and schools being forced to shut. The stay-at-home orders that were implemented as part of efforts to protect public health have led to increasing unemployment and new barriers to food access\u201321. Several recent changes in the operation of food assistance programmes (e.g. grocery deliveries by food shelves) and supportive policies (e.g. Families First Coronavirus Response Act) have been enacted to respond to the crisis. There is however little known about home food availability and food shopping and eating behaviours during COVID-19 with specific concern for households that have experienced food insecurity at one or more times in the past year. In order to guide policy decisions about food assistance programmes and supportive services, and the design of effective health promotion messaging for public health emergencies, it will be important to build understanding of the food behaviours and discrimination experiences of those who are faced with food insecurity.The US outbreak of COVID-19 has intensified challenges and disparities in food access among vulnerable populations and led to an epidemic of food insecurity,23\u201325, the present study was specifically designed to help inform the development of policies and services for emerging adults. The three aims focus on food insecurity and intersecting problems. The first aim is to describe how past year experiences of food insecurity are related to emerging adults\u2019 experiences of food insufficiency, food shopping behaviours, home food availability, eating behaviours and experiences of neighbourhood safety and discrimination during COVID-19. Secondly, the study examines how food shopping, food preparation and eating behaviours have been influenced by events related to COVID-19 for emerging adults who were food insecure at one or more times in the past year. The third aim is to identify the resources that are most needed by food-insecure emerging adults to help them gain access to healthy foods and maintain their overall health during a public health emergency.As one of the first US studies to examine food insecurity and related factors during COVID-19,26. Invitations to participate in the online C-EAT survey were sent to cohort members by email and text message in April 2020. A reminder message was similarly sent to a subset of non-responders who had provided both forms of contact information. Responses to the survey had been received from 218 young people (21 % of those who could be contacted) at the time that COVID-19 emergency stay-at-home orders were lifted in Minnesota on 18 May. All participants were mailed a financial incentive of $25 following survey completion. The University of Minnesota Institutional Review Board Human Subjects Committee approved all protocols.Participants in the C-EAT (COVID-19 Eating and Activity over Time) study were members of the EAT 2010\u20132018 longitudinal study cohort and invited to complete a follow-up online survey in the spring of 2020 during the initial months of the US outbreak of COVID-19. The EAT 2010\u20132018 study is a population-based investigation of weight-related health behaviours and associated factors among 1568 young people who were attending secondary school in Minneapolis\u2013St. Paul, Minnesota in 2009\u20132010sd 2\u00b70) years in 2020. Although C-EAT survey participants were less likely than 2018 survey participants to identify as male, identify their race as African American or Black and have a parent of lower SES, C-EAT participants were of diverse backgrounds. The distribution of ethnic/racial backgrounds reported by C-EAT participants was similar but more diverse than the overall population in Minneapolis\u2013St. Paul, Minnesota with 36\u00b74 % White, 19\u00b74 % Asian American, 19\u00b73 % Hispanic, 14\u00b73 % African American or Black and 10\u00b76 % mixed or other. The distribution across categories of parental SES based primarily on baseline educational attainment was: 30\u00b73 % low, 16\u00b71 % low-middle, 18\u00b73 % middle, 21\u00b71 % upper-middle and 14\u00b72 % high. Most participants (87 %) were living in Minnesota at the time they completed the C-EAT survey.The C-EAT survey sample included 153 females, 62 males and 3 participants indicating another sex identity. The sample had a mean age of 24\u00b76 and ethnicity/race (test\u2013retest agreement range: 98\u2013100 %) were assessed on the original school-based survey in 2009\u20132010,31,32.The C-EAT survey was based on prior EAT surveys with modifications made to focus recall on the past month of events related to the COVID-19 outbreak\u03c72 tests were initially examined to assess the prevalence of food insecurity in the past year and food insufficiency in the past month across sociodemographic characteristics of emerging adults in the sample. The first study aim was accomplished by focusing on the more common experience of being food insecure at any point over the past year; regression models were used to produce least square mean estimates for measures of food shopping behaviours, home food availability, eating behaviours and neighbourhood safety and discrimination experiences among food-secure and food-insecure emerging adults. Generalised binomial models were used to examine statistical associations of each measure with food security status , and the inverse linked scale option was used to estimate the adjusted prevalence for the measures of interest. Regression models were examined without adjustment and also adjusted for emerging adult sex, ethnicity/race, employment status, household receipt of public assistance and living situation given these variables were identified as correlates of food security in the present analysis or prior research,33,34. A third set of models were additionally adjusted for parental SES to build understanding of how the experience of food insecurity may be distinct from the experience of having limited financial resources. As both sets of adjusted models produced similar results and the former is most relevant to intervention design, the model adjusting for SES is not described in detail below. A 95 % confidence level was used to interpret the statistical significance of all probability tests. Analyses were conducted using the Statistical Analysis System .Frequencies, percentages and n 1 participant was food insufficient in the past month but not food insecure in the past year) were qualitatively coded in order to address the second and third aims of the study regarding how events related to COVID-19 had influenced eating behaviours and what resources were needed. A content analysis was conducted in three stages. The initial stage of coding involved review of all responses by the first author (N.L.) and the generation of several topic areas by which the diverse comments could be categorised. Next, the third author (T.A.) reviewed all comments using the schema developed in the initial coding and assigned each comment to relevant topic categories. Third, there were five coding discrepancies (<1 % of coding decisions) that were identified between the second coder and the initial coder; each of these discrepancies was discussed to resolution. All names in quotes were either removed or changed to protect participant confidentiality.Open-ended survey responses from sixty-two respondents who were food insecure in the past year or food insufficient in the past month (n 61) of emerging adults and, among this group of food-insecure participants, 41\u00b70 % (n 25) reported food insufficiency in the past month . Some food-insecure emerging adults reported eating less, whereas others reported eating more than usual due to anxiety, other emotions or boredom. It was also common for food-insecure emerging adults to report eating fewer meals and/or more snacks (n 14).Among the comments regarding the influence of COVID-19 on eating behaviours . Some food-insecure emerging adults reported eating more healthy foods for reasons such as boosting their immunity; however, most who mentioned this topic reported shifts towards eating less fresh food, more frozen and non-perishable foods, and more sugary snacks and junk food.Changes in the eat more food prepared at home (n 11) and for some to also have more meals that were prepared for sharing as a household. In correspondence with eating more food prepared at home, a number of emerging adults reported changing patterns of food shopping (n 18). Food shopping frequency was reported by some emerging adults to increase; however, there was much variability with others reporting they changed how they shop to reduce their number of trips to the store. While shortages at grocery stores made it more difficult to purchase desired quantities of food, a few emerging adults reported purchasing more non-perishables when possible.Events related to COVID-19 led a number of food-insecure emerging adults to changing the frequency of eating food from restaurants (n 16). Fears about getting sick at the grocery store led some food-insecure emerging adults to eat more take-out food from restaurants, whereas others had concerns about the safety of restaurant food. Among emerging adults who reported eating out, traditional fast-food restaurants were perceived by some to be the safest option.There was variability in the comments of emerging adults regarding n 18) and the overall sample of food-insecure young people focused on a desire to receive food assistance benefits, including needs for a larger amount of benefits, having food delivery or pick-up options, and access to food at food pantries . Emerging adults experienced challenges with these resources due to limited eligibility for benefits as well as troubles with accessing food that would serve the needs of their culturally diverse families.When asked about resources needed to help in getting enough healthy food for yourself and your family Table , most ofRelief funds and money were also among the most common responses from food-insecure emerging adults with regard to needed resources. Emerging adults mentioned stimulus checks, relief funds, unemployment benefits, inadequate household income and the cost associated with healthy food. Eligibility for financial resources was particularly challenging for emerging adults who were single and did not have children of their own.accessing food at retail stores . Food-insecure emerging adults raised concerns relating to store policies that did not allow children to enter, out-of-stock items, inadequate cleaning procedures and lack of opportunities for ordering food online. In alignment with the quantitative findings, one participant specifically mentioned discrimination (i.e. fearing to go out because of their race) and another described worries about having to go to the store to purchase food with food assistance benefits.Resources were needed by emerging adults to address challenges with safely n 31) made by food-insecure emerging adults again focused on needs for money (n 11), food assistance (n 8) and challenges with food access (n 6). In particular, several participants mentioned the need for financial assistance to pay for rent. Health care was also a challenge for food-insecure emerging adults with comments (n 6) made regarding the cost, need for more mental health resources and the desire to have universal care and virtual care options.When asked more generally about resources needed to support their overall health and the health of their family Table , most of,23\u201325. Results of the present study align with and extend prior research in finding that food insecurity is a prevalent problem among diverse emerging adults and common needs during the outbreak for resources such as support for food delivery costs, improved stocking of food in retail stores and increased food assistance benefits,23,25. As structural racism has resulted in a disproportionate burden of COVID-19 for Black, Indigenous and people of colour\u201337, the present study also included a novel focus on the co-occurrence of food insecurity with neighbourhood safety concerns and exposure to interpersonal forms of discrimination that may further limit access to healthy food. The findings indicate that emerging adults who were food insecure in the past year had poorer access to healthy foods at home, more frequent fast-food restaurant meals and more experiences of discrimination and feeling unsafe during the initial months of the COVID-19 outbreak when compared with emerging adults who were food secure. While the influence of COVID-19 on eating behaviour resulted in some health promoting shifts (e.g. preparing more food at home), most of the changes described by food-insecure emerging adults are likely to have negative health consequences. The results regarding unhealthy changes in food purchasing and eating are in line with other recent studies and emphasise the unique challenges faced by emerging adults during a public health emergency.This study is one of the first to our knowledge to examine food insecurity and intersecting barriers to health during the US outbreak of COVID-19 and was specifically designed to help inform the development of policies and services for emerging adults. The existing literature on food insecurity during the outbreak has focused on the high prevalence and disparities among population-based samples of adults, households with children and university students. Prior research has demonstrated there may be discomfort around making online purchases of nutrient-dense food items that are perishable , and thus strategies may also be needed for optimally using online options to purchase these foods.Results of the present study indicate that a majority of emerging adults have not recently made use of food shopping practices that could help them to more easily manage their resources for food and safety when shopping. Although the use of most food shopping practices was unrelated to food security status, practices such as planning meals before shopping and deciding on a set amount of money to spend could be particularly helpful for young people to manage their food needs and limit the time they need to spend in retail food stores. The practice of buying groceries online could also benefit emerging adults when store policies do not allow them to enter with children or they have a concern about potentially being exposed to COVID-19 while shopping. At the time of the C-EAT survey, only a small percentage of emerging adults reported buying groceries online; however, most Minnesota retailers did not yet have available the option for food assistance benefits to be used for purchasing groceries online. The recent expansion of the Supplemental Nutrition Assistance Program Online Purchasing Pilot in Minnesota and other states may lead to changes in the prevalence of this practice among food-insecure emerging adults if they are made aware of the new option and strategies for planning needed purchases around available time windows for pick-up and deliveryAnother unique contribution of the present study relates to building understanding of how food shopping, food preparation and eating behaviours of food-insecure emerging adults have been influenced by the COVID-19 outbreak. The findings may provide valuable guidance to organisations working to provide food assistance and health education during the current outbreak and future public health emergencies. Many emerging adults reported worries about becoming infected with COVID-19, but, in alignment with the state of confusion about health recommendations at the start of the outbreak, their worries led to different types of shifts in eating behaviour. Preparing more food at home and purchasing more non-perishable foods were common responses to worries about COVID-19. It was also common for emerging adults to report eating take-out food from restaurants and a shift to purchasing more often from traditional fast-food restaurants that provide drive-thru services. While some emerging adult respondents had fears about getting infected with COVID-19 as a result of poor food safety practices in fast-food restaurants, others were more concerned with getting infected as a result of being around other people in a crowded restaurant or grocery store. Findings from the present study suggest there is a need for clear and consistent messaging with a broad reach to inform young people about how to safely manage the purchasing of healthy food and meal planning during an infectious disease pandemic. For example, it may be helpful for agencies involved in providing food assistance to also have a role in educating young people on safety practices such as wearing a mask inside stores and restaurants, washing fruits and vegetables and thorough hand washing. Government programmes that focus on providing nutrition education to low-income populations may be particularly well positioned to provide this vital information.,14. For example, research involving Latinx and Black/African American mothers of young children in Philadelphia found that experiences of discrimination from police, courts and in workplaces were associated with a greater likelihood of being food insecure. Discrimination in workplaces, schools and courts as examined by existing studies might plausibly be linked to greater food insecurity by pathways involving higher rates of incarceration, lower wages, lower rates of promotion and poorer job security. The emerging adult participants who reported experiencing racism in the month prior to the C-EAT survey were not asked about the specific settings in which people said mean or rude things to them because of their race or ethnic group, but many of the same pathways are likely to hamper access to healthy food for these young people and members of their household. Although most participants in the present study were not financially responsible for children of their own and 40 % were not independently responsible for housing expenses, it is likely that experiences of racism had a significant impact on the wages and job security of emerging adult participants and thus the adequacy of their household income. Additional research is needed to explore whether experiences of interpersonal racism in grocery stores and restaurants may play a role in food access and possibly compound the consequences of structural racism on access to large grocery stores and supermarkets.The findings of the present study build on what is known about linkages between experiences of interpersonal racism and food insecurity among ethnically/racially diverse emerging adults. The small number of prior investigations regarding this relationship have focused on households with children\u201343. Also, because the measures of food shopping behaviours and experiences of neighbourhood safety and discrimination were not included in the 2018 survey and the 2018 survey included only a two-item measure of experiencing food insufficiency in the past year, the study design was not ideal for examining changes from before to after the US outbreak of COVID-19. The measure of SES was validated by parental report at baseline of the study and incorporated information on parental education, parental employment and receipt of public assistance in order to help prevent misclassification of resources. Despite the established nature of the measure, it is important to acknowledge that SES may improve or decline as young people transition from adolescence to adulthood. The small size of the sample and variability of individual experiences also led to low numbers for some of the qualitative themes identified by the analysis and thus make the results more challenging to interpret.Study weaknesses to be taken into account in interpreting the findings include the limited generalisability of responses primarily coming from a convenience sample of emerging adults in one Midwestern state and the brevity of survey measures. It is a limitation that participants completed only the short form of the US Household Food Security Survey Module; although this tool is validated and ideal for limiting participant burden during a stressful time, it does not allow for assessing the most severe levels of food insecurity or conditions of children in the household. Participants completed measures of unsafe neighbourhood conditions and exposure to discrimination that were adapted from established tools, but the measures were very brief (e.g. captured only discrimination that involved having someone say mean or rude things about you). The C-EAT survey did not address all possible forms of discrimination and safety concerns and did not specifically assess the ways that these problems might influence one\u2019s ability to access healthy foodStrengths of the present study include the combined use of quantitative and qualitative data, breadth of food behaviours examined and the sociodemographic diversity of emerging adult participants. The timely collection of surveys from young people impacted by emergency stay-at-home orders will help to fill an urgent need for data to inform health protection policies and services. In particular, the analysis of open-ended comments provides important context for understanding the challenges faced by emerging adults who responded to survey measures in a manner indicative of experiencing food insecurity. It will be important for additional studies to examine the impact of stay-at-home orders on food insecurity in other population-based samples of emerging adults; however, the present study provided valuable insights into the experiences of ethnically/racially diverse young people and was inclusive of persons living alone, persons living with their parents and others who were living with families of their own.. The much higher prevalence of 12 % of emerging adults reporting food insufficiency in the past 30 d during the COVID-19 outbreak is of great concern. Research building on the present study is needed to guide the ongoing response to food insecurity in areas impacted by COVID-19 outbreaks and as part of future public health emergencies. It will be important for follow-up studies to evaluate how the needs of emerging adults may change as communities continue to cope with COVID-19 and what challenges are encountered after stay-at-home orders are lifted. The role of racism in food insecurity is complex. The results reported here suggest it would be worthwhile to further use more in-depth measures to assess exposure to racism and explore the perceptions of emerging adults regarding how various forms of racism influence their shopping habits and ability to obtain healthy food. It could likewise be informative to comprehensively investigate experiences of racism within settings such as schools, food pantries and sites that administer nutrition assistance programmes and how they might influence food access for emerging adults. Efforts to simplify the process of accessing food assistance for emerging adult populations should be evaluated along with messages about potentially beneficial food purchasing practices .In conclusion, the results described here demonstrate that emerging adults are experiencing many barriers to accessing food and maintaining healthful eating patterns during the US outbreak of COVID-19. The national prevalence of food insecurity in the past 30 d was 5\u00b75 %, and 2\u00b73 % of US households experienced very low food security in December 2019 prior to the outbreak of COVID-19. Access to adequate benefits through federal programmes has been a particular challenge that needs to be monitored for emerging adults who do not have a spouse or children and may be living alone or with other adults who are employed. Additionally, the results strongly suggest the need for public health efforts to reduce barriers to the safe purchasing of healthy foods and ensure local nutrition programmes provide culturally acceptable food options for all community members in need. The option to use food assistance benefits to purchase food online and have the food delivered or available for pick-up outside the store was identified as very desirable, and thus it will be important for nutrition professionals to support, help to evaluate and help to educate emerging adults about the Supplemental Nutrition Assistance Program Online Purchasing Pilot. Findings of the present study further emphasised the need for nutrition professionals to take an active role in addressing racism and neighbourhood safety given the strong relationships between these public health problems and food insecurity. Safety with regard to avoiding exposure to COVID-19 when purchasing food and meal planning are yet more challenges that can be addressed by the work of nutrition professionals in providing guidance on how to safely manage the purchasing and preparation of healthy food. The diversity of experiences reported by young people as part of this study further suggest that nutrition professionals will need to be responsive to unique challenges and should take time to ask about and listen to how their clients are coping with the health risks and food access barriers posed by COVID-19.Despite the need for additional research, the results of the present study emphasise the importance and urgency of supporting ongoing efforts to expand food assistance benefits, benefit flexibilities and relief funds in order to provide emerging adults with the tools they need to maintain their health in times of public health emergencies. The response of the US Department of Agriculture Food and Nutrition Service to COVID-19 has begun to address many of the challenges that were raised by emerging adults as part of this study, and nutrition professionals will have an important role in ensuring that programme changes are communicated broadly and evaluated"}
+{"text": "Parkinsonism is a commonly seen movement disorder syndrome with neurodegenerative and non-neurodegenerative causes. Presynaptic dopamine transporter (DaT) single\u2010photon emission computed tomography (SPECT) imaging is the most commonly used imaging technique in clinical practice to differentiate degenerative Parkinson\u2019s disease (PD) and PD plus syndromes from other causes such as essential tremor and drug-induced parkinsonism. This can help identify the patients who would benefit from medical therapy due to underlying pre-synaptic dopaminergic deficits. We report a case of unilateral parkinsonism caused by ipsilateral substantia nigra micro-haemorrhage resulting in disruption of the nigrostriatal pathway. This is an unusual case of a 55-year-old male patient who presented with unilateral Parkinsonism a decade after significant head trauma where MRI plays a critical and complementary role in diagnosing complete interruption of the nigrostriatal pathway due to cerebral micro-haemorrhage. The case also beautifully demonstrates the anatomy of the nigrostriatal pathway where a small lesion in the substantia nigra caused complete loss of radioligand uptake in the ipsilateral corpus striatum. Physicians should be aware of the importance of structural imaging in atypical movement disorder cases and, in particular, the routine use of susceptibility-weighted sequences (SWI). MRI of the brain is a helpful first-line imaging tool to differentiate neurodegenerative parkinsonian disorders from parkinsonism caused by lesions involving the nigrostriatal pathway such as infarcts, mass lesions, and demyelination.3 Presynaptic dopamine transporter (DaT) single\u2010photon emission CT (SPECT) uses a radioactive pharmaceutical which binds to the presynaptic membranes of the terminals of dopaminergic projections. DaT is contemplated as an indicator of dopamine terminal integrity from the substantia nigra in the midbrain to the striatum in the basal ganglia (caudate nucleus and putamen).4 An abnormal DaT scan can help differentiate conditions associated with pre-synaptic dopaminergic dysfunction, such as neurodegenerative parkinsonism and vascular Parkinson\u2019s, from essential tremor and drug-induced Parkinson\u2019s.Parkinsonism is a movement disorder defined by the presence of bradykinesia in addition to rest tremor or rigidity.5\u20137 have been described. To our knowledge, this is the first case of hemi-parkinsonism caused by ipsilateral substantia nigra micro-haemorrhage resulting in disruption of the nigrostriatal pathway. This emphasises the importance of susceptibility-weighted sequences in imaging patients with parkinsonism especially in the presence of unilateral abnormal DaT scan and normal head CT or structural MRI scans.There are many case reports in the literature describing focal lesions within the substantia nigra affecting the nigrostriatal pathway DaT uptake and causing contralateral hemi-parkinsonism. The causes ranging from lacunar infarcts to Japanese encephalitisWe present a 55-year-old male patient who sustained a head injury in a road traffic accident about 13 years ago. CT scan of his head at that time showed multiple brain parenchymal haemorrhagic contusions involving the corpus callosum, bilateral frontal, and temporal lobes. He suffered right-sided hemiparesis since then. Seven years later he started to develop gradual worsening of the unilateral hemiparesis along with new onset of rigidity and hyperreflexia, symptoms which are indicative of extrapyramidal syndrome and had worsened along the course of 2 years. He was thus investigated for the possibility of idiopathic Parkinson\u2019s disease. MRI of his head was done and showed encephalomalacia changes involving bilateral superior frontal gyri. The lesion within the left frontal lobe involves the supplementary motor cortex (area 6) which explains the post-traumatic right-sided hemiparesis that he had suffered from for years. No abnormality was seen within the basal ganglia or midbrain to explain the extrapyramidal symptoms. No susceptibility-weighted imaging was obtained at that time. The DaT scan showed complete absence of the radioligand uptake within the right striatum with normal uptake on the left . Whilst 8 However, few studies have discussed the SWI importance in evaluating unilateral parkinsonism apart from that.Structural imaging is performed in the presence of abnormal DaT scan uptake to rule out focal abnormalities involving the nigrostriatal pathway. This is of particular importance in patients not presenting with the typical clinical picture of degenerative PD. SWI should always be included in the MRI sequencesto evaluate for the presence of iron accumulation and focal haemorrhages.Our patient presented with symptoms of unilateral parkinsonism with ipsilateral absent radioligand uptake on DaT scan within the right striatum. The cause of which was found to be right substantia nigra haemorrhage from a previous head injury. Susceptibility-weighted imaging has long been used in imaging of Parkinson\u2019s disease but was always used to detect iron accumulation in the substantia nigra. An area of particular importance is the dorsolateral substantia nigra called Nigrosome one which typically shows hyperintense signal on SWI, the so-called swallow-tail sign. Several studies have proved that the loss of the swallow-tail sign was both sensitive and specific for Parkinson\u2019s disease.The connection between the presence of a substantia nigra lesion and unilateral parkinsonism is well recognised.9 Thus, any lesion along the pathway will cause symptoms on the contralateral side-of the body.The substantia nigra is connected to the ipsilateral motor cortex via connections with the caudate and putamen in the process of movement regulation.10 Furthermore, the radioligand uptake on DaT scan was significantly reduced in the putamen on the symptomatic side. Whereas the putamen uptake contralateral to the symptomatic side was only slightly reduced or normal. This was attributed to being due to hand dominance. This is in concordance with other studies which support the hypothesis that motor symptoms in unilateral parkinsonism are usually on the hand dominant side.11Additionally, a case report published in 1978 described a case with right-sided parkinsonism due to a right substantia nigra infarct confirmed at autopsy.12 Further studies are needed to justify the occurrence of clinical symptoms ipsilateral to the substantia nigra abnormalities.DaT scan can evaluate the integrity of the nigrostriatal pathway from the substantia nigra in the midbrain to the caudate and putamen in the basal ganglia. Nonetheless, most of the information in the literature discusses the contra laterality of the clinical symptoms in relation to the substantia nigra lesion. However, one study in evaluating patients with early-stage unilateral Parkinson\u2019s disease found that changes in the substantia nigra correlated with clinical symptoms on the ipsilateral side-of the body.To our knowledge, this is the first case of substantia nigra haemorrhage causing unilateral absent uptake in the right striatum. Moreover, the ipsilateral symptomatology of our patient adds to the uniqueness of our case.Substantia nigra micro-haemorrhage is a rare cause for unilateral parkinsonism.The importance of utilizing structural imaging along with nuclear scans in diagnosing movement disorders.The use of susceptibility-weighted imaging in unilateral parkinsonism."}
+{"text": "Hartmut Porst and Andrea Burri pointed the actual situation of Premature Ejaculation (PE) arguing that there is a gap between what doctors are prescribing and what patients expect from treatment.The only so far officially approved medication \u2013 dapoxetine - is characterized by high discontinuation rates of up to 90%, mostly because of high side effects, cost issues, efficacy below expectations, and the need for scheduling sexual intercourse.The authors discussed advantages and disadvantages of currently available off-label and officially approved treatment options and presented the dose-metered lidocaine-prilocaine spray (Fortacin\u2122), the first topical treatment to be officially approved in Europe for the treatment of primary PE in adult men.The use of drugs that selectively reduce penile sensitization or which modify the afferent-efferent reflex could provide effective therapy for PE, as has been shown with the off-label use of topical desensitizing creams that reThere are many studies , 3 demFortacin \u2122 was officially approved for use in the European Union in 2013 and finally launched in the United Kingdom in November 2016. This lidocaine-prilocaine spray, with all pharmacological advantages and well conducted trials, has not yet reached a significant first-line therapy status both for the physicians and the patients in PE. There are no comments from the authors to contradict or explain this fact."}
+{"text": "Cancer metastasis is still the main cause of death for most cancer types or protein levels in cells with identical genomes. While there are different uses of the term \u201cnoise\u201d across the fields of biology, we define noise here as in physics and engineering disciplines besides biology: as a general stochastic process that does not exclude heritability. Indeed, the existence of noise with various spectra in nature implies that there can be various short- and long-term components of randomness.forward investigation investigation ] characterizes how far molecule numbers can deviate from the mean. Noise amplitudes can range from slight (CV < 20%) to dramatic (CV > 200%), giving rise to vastly different cellular phenotypes interdependence. Typically, this relationship holds for various bursting regimes different gene circuits to express the same gene with different noise-vs.-mean dependencies (Blake et al., As an illustrative classification inspired by studies examining how mean and noise affect drug resistance (Blake et al., Protein mean- and noise-dependent crossings of various thresholds in synthetic and natural scenarios can also be explored visually as landscapes . SynthetExperimental evidence for how gene expression mean and noise independently affect metastasis threshold crossing is relatively lacking, but synthetic biology is already shedding light on drug resistance (Farquhar et al., MG, YW, and GB conceived and wrote the manuscript. SL surveyed the literature and added the references. DY and MR contributed some critical concepts and feedback on the manuscript. All authors contributed to the article and approved the submitted version.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Racial/ethnic disparities have been well documented in long-term care literature. As the population ages and becomes more diverse over time, it is essential to identify mechanisms that may eliminate or mitigate racial/ethnic disparities. Culture change is a movement to transition nursing homes to more home-like environments. The literature on culture change initiatives and quality has been mixed, with little to no literature on the use of culture change initiatives in high Medicaid nursing homes and quality. The purpose of this study was to examine how the involvement of culture change initiatives among high Medicaid facilities was associated with nursing home quality. The study relied on both survey and secondary nursing home data for the years 2017-2018. The sample included high Medicaid (85% or higher) nursing homes. The outcome of interest was the overall nursing home star rating obtained from the Nursing Home Compare Five-Star Quality Rating System. The primary independent variable of interest was the years of involvement in culture change initiatives among nursing homes, which was obtained from the nursing home administrator survey. The final model consisted of an ordinal logistic regression with state-level fixed effects. High-Medicaid nursing homes with six or more years in culture change initiatives had higher odds of having a higher star rating, while facilities with one year or less had significantly lower odds of having a higher star rating. Culture change initiatives may require some time to effectively implement, but these initiatives are potential mechanisms to improve quality in high Medicaid nursing homes."}
+{"text": "Anemia remains a challenge for most cancer patients treated with therapies that include chemotherapy to current immunotherapy or chemo-immunotherapy treatments. Multiple myeloma (MM) is a plasma cell neoplasm marked by the clonal proliferation of malignant plasma cells. Preceding stage in MM includes asymptomatic stages including monoclonal gammopathy of undetermined significance or MGUS before the disease progression to clinical MM. One of the clinical features of MM at diagnosis includes anemia, presenting in a majority of MM patients. Pathological changes in bone marrow microenvironment in monoclonal gammopathy/MGUS and MM contribute to the pathological imbalance in erythroid cell production, leading to lowered downstream mature erythroid cells. Molecular events and pathways that contribute to this pathological remodeling of erythroid pathway-elements remain unclear and need further investigations.Regulator of Hemoglobinization and Erythroid cell eXpansion or RHEX in the erythropoietin (EPO)/EPO receptor (EPOR) pathway that play key roles in erythroid cell maturation and development exclusively in humans were recently reported - Cereblon (CRBN) E3 ligase complex mediated proteasomal degradation of downstream targets (Immunomodulatory (IMiD) agents like pomalidomide have recently been reported to induce increased patients . These s targets . These C targets . Specifi targets .R based) as reported by Dulmovits et al. (It is to be noted that monoclonal gammopathy-associated PRCA might be a paraprotein-related phenomenon. It can be further speculated that there could be a functional relationship between altered plasma cell and erythroid precursor, with a possible causal relationship between M-protein response and hematological response including PRCA reversal in the PRCA bone marrow after treatment with pomalidomide or IMiDs . A numbes et al. .Detailed molecular mechanisms describing the additional targets of IMiD action remain an active area of research and thesR drive the erythroid recovery in this pathology but independent of currently known molecular pathways that exclusively drive the action of these drugs on myeloma cells and potentially some immune cell subsets. Absence of RTK mutations further makes a strong case for an alternative mechanistic active in the progenitor cells under the action of novel agents like pomalidomide or lenalidomide for erythroid recovery in MM. Recent discovery of novel regulators like RHEX implicated in the human erythroid cell maturation combined with the findings of Dulmovits et al. proposes further investigations of erythroid maturation pathways in MM and Monoclonal gammopathy or MGUS associated PRCA to uncover the underlying molecular mechanism. With the progress of cell therapies like the BCMA targeting CAR-T cells for late stage or relapsed/refractory MM (Monoclonal gammopathy-associated PRCA illustrates an open ended clinical challenge to describe the underlying possible pathogenetic mechanisms by future mechanistic studies . Anti-myctory MM , these iRV prepared and wrote the manuscript.The author declares that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "In order to elucidate this, we first experimentally demonstrate an interferometric weak value amplification concept by generating nearly destructive interference of two paths of an interferometer having slightly rotated linear polarization states of light. The weak value amplification of polarization rotation effect is manifested as dramatic changes in the polarization state of light, which acts as the pointer. We go on to demonstrate that the manifestation of natural interferometric weak value amplification is an important contributing factor to the observed giant Faraday rotation and ellipticity in waveguided magneto-plasmonic crystals exhibiting prominent Fano resonance. The natural weak value interpretation of the enhanced Faraday rotation in hybrid magneto-plasmonic systems enriches the existing understanding on its origin. This opens up a new paradigm of natural weak measurement for gaining fundamental insights and ensuing practical applications on various weak interaction effects in rich variety of wave phenomena that originate from fine interference effects.The extraordinary concept of weak value amplification can be formulated within the realm of wave interference as nearly destructive interference between the eigenstates of the measuring observable. Here we report on a phenomenon of interferometric weak value amplification of small polarization rotation in Fano resonance that evolves completely The outcome, the so-called weak value may lie far outside the eigenvalue spectrum of an observable and can also assume complex values. These strange characteristics have allowed a wide range of applicability of weak values in both classical and quantum contexts15. The weak value amplification (WVA) has turned out to be a useful tool for addressing foundational questions in quantum mechanics13 and for resolving quantum paradoxes15. WVA is also finding widespread metrological applications11, to quantify small physical parameters, e.g., for precision measurements of angular rotation6, phase shift8, temporal shift9, frequency shift10, detection of ultra-sensitive beam deflections11, and so forth.The weak measurement concept, introduced by Aharonov, Albert, and Vaidman11. In most of the optical weak measurements, Gaussian spatial modes of laser beams or Gaussian temporal pulse are employed as external pointer and associated polarization state of light is used as a pre-post selection mechanism, with tiny polarization dependent optical effects providing the weak coupling between the pointer and the measuring observable10. The enigmatic concept of WVA can also be interpreted as near destructive interference between the eigenstates of the measuring observable as a consequence of nearly mutually orthogonal pre and post selections of the system states3. Here, we demonstrate that due to the common interferometric origin, weak value amplification of an appropriate weak interaction parameter can naturally evolve in a universal wave interference phenomenon, namely, Fano resonance20. Fano resonance exhibits a characteristic asymmetric spectral line shape which emerges due to the interference of a discrete excited state with continuum of states16. Investigations on Fano resonances in wide range of micro and nano scale optical systems have attracted particular attention due to their numerous potential application such as in sensing, switching, lasing, filters, color display, nonlinear and slow-light devices and in invisibility cloaking etc27. The waveguided plasmonic crystal is one such nano-optical system that exhibit prominent Fano resonances and has already shown a number of interesting fundamental optical effects and demonstrated promising applications27. Taking example of Fano resonance in such a waveguided magneto-plasmonic crystal system31, we show that spectral domain interference between a continuum mode and a narrow resonance mode having slightly different polarization response can indeed provide a natural interferometric WVA of weak polarization rotation effect. In order to prove this concept, we first develop and experimentally demonstrate an intuitive interferometric WVA concept that uses near destructive interference of two paths of an interferometer having slightly rotated linear polarization states of light (playing the role of weak interaction). Unlike conventional optical weak measurements, here, near destructive interference between two paths are used to mimic the near orthogonal pre and post-selections of states narrow quasiguided mode and a polarization isotropic photon continuum or broad surface plasmon mode in waveguided magneto-plasmonic crystal28. Using a theoretical model of interferometric weak value amplification and by employing finite element method (FEM) simulation33 in magneto-plasmonic crystal, we demonstrate that natural interferometric WVA plays an important role in the observed giant Faraday rotation in such systems that exhibit prominent Fano resonance features28. This is the first demonstration of weak value amplification that occurs completely naturally.Even though WVA is a quantum mechanical concept, it can be understood using the wave interference phenomena and can therefore be realized in classical optical setting alsoWe consider near destructive interference of two paths of an interferometer having slightly rotated on top of a dielectric waveguiding layer20. The coupling of the surface plasmons in the metallic nanostructures or the photon continuum with the narrow quasi-guided photonic modes in the waveguiding layer leads to Fano resonance28. It is pertinent to note that for excitation with transverse electric (TE) polarized light, the surface plasmons are not directly excited in such system as the electric field is parallel to the metal grating polarization on the other hand, Fano type resonance appears due to the interference of the broad surface plasmon mode in the metal nanostructures and the quasi-guided photonic mode in the waveguiding layer27. As opposed to the usual plasmonic crystal systems, in waveguided magneto-plasmonic crystal, the waveguiding layer is made of magneto optical materials that additionally exhibit Faraday rotation and ellipticity32, which acts as the desirable weak interaction parameter in this weak measurement scenario of Fano resonance. We demonstrate below that the in-built near destructive spectral domain Fano interference in the neighborhood the Fano spectral dip in such systems provides the near orthogonal pre-post selection of states leading to natural interferometric WVA of small Faraday rotation and ellipticity. We also show that this natural interferometric WVA of Fano resonance is an important contributing factor to the recently observed giant enhancement of small Faraday rotation in such system28. We used finite element method (FEM)33 for simulating the Fano resonance in the transmitted light from magneto-plasmonic crystal system polarization excitation. Figure\u00a028. Before we proceed to the main findings of this study on natural interferometric WVA in Fano resonance, it is worth noting that the waveguide modes in the magneto-plasmonic crystal system are leaky as they couple to light through momentum matching enabled by the presence of the gold (Au) grating on top of the waveguide layer (Y-BIG film)20. The overall damping and the lossy nature of such quasiguided photonic modes are accordingly reflected in the comparatively large line width 37. Now, turning to the results on the natural interferometric WVA, significant enhancement of the Faraday rotation . This is being investigated in details.We now demonstrate this concept in a realistic Fano resonant system, namely, the waveguided magneto-plasmonic crystalsence Eq.\u00a0. Note th31. In such scenario, the natural WVA phenomenon does not take place and the enhancement of magneto optical effects can be primarily attributed to the other known mechanisms38. We also emphasize that the presented framework of natural WVA in spectral interference of Fano resonance is a generic one, which is applicable to a broad range of Fano resonant systems in the presence of an appropriate weak interaction parameter . As evident, the ratio of the amplitudes of the narrow resonance mode and the continuum mode 18 are only important in the weak value formalism. Since these two parameters are directly related to the coupling strength or the resulting Fano asymmetry parameter In general, it is exclusively in the case of prominent Fano resonance that the near destructive spectral domain interference between a continuum and a narrow resonance mode having slightly different polarization response mimics the unique phenomenon of natural interferometric WVA, which cannot be produced by any arbitrary interference effects. Caution must therefore be exercised in interpreting enhancements of magneto-optical effects in many other plasmonic systems which do not exhibit prominent Fano type spectral interferenceweak polarization anisotropy effect in one of the interfering modes. The results of these studies provide new insights on the vital role of natural WVA in the giant enhancement of Faraday rotation and ellipticity in Fano resonant magneto-plasmonic systems. In general, these results are quite remarkable as the weak value amplification procedure usually demands careful state preparation (pre-selection), a weak coupling between the pointer and the measuring observable and post-selection on a final state. Whereas these results clearly show that the entire process of WVA may naturally evolve in the spectral domain Fano interference in the presence of a weak polarization anisotropy effect. It is envisaged that in presence of an appropriate weak interaction parameter such natural interferometric WVA can be realized in diverse other non-trivial phenomena also that originate due to fine interference effects41.\u00a0This opens up a new regime for the study of natural weak measurements on fundamentally important weak interactions associated with a rich variety of interference related effects for their enhanced probing and for enhancing related metrological applications in the optical domain and beyond.In summary, we have developed and experimentally validated a fundamentally interesting concept of interferometric WVA to amplify small polarization anisotropy effect. Unlike conventional optical WVA schemes, in this approach, near destructive interference between two paths of an interferometer is used to mimic the near orthogonal pre and post-selections of states, small polarization anisotropy effects act as the weak interaction, and polarization Stokes parameters are used as pointer. It is shown that such interferometric WVA naturally arises in Fano resonance due to the spectral domain interference between a continuum mode and a narrow resonance mode having slightly different polarization response which arises due to the presence of a 32 across the interference fringe. In order to realize the real WVA scheme, the relative intensities (or amplitude ratio a) of light in the two interfering paths were varied using a variable neutral density filter\u00a0ND. The polarization vector orientation angle (a). For probing the imaginary WVA, on the other hand, the intensities of the two paths were kept equal and the recorded We employed a conventional Mach\u2013Zehnder interferometric arrangement to demonstrate the interferometric WVA concept Fig.\u00a0a Supplementary information"}
+{"text": "We investigated a clinical case of variant Creutzfeldt-Jakob Disease in a person heterozygous for methionine/valine at codon 129 of the prion protein gene and identified the same strain properties in variant Creutzfeldt-Jakob disease in methionine homozygous persons and in bovine spongiform encephalopathy. These results indicate no adaptation of the agent in a different genetic background. PRNP 129MV) was reported in the United Kingdom in a person heterozygous for methionine/valine (MV) at codon 129 of the prion protein gene . Results from magnetic resonance imaging (MRI) of the patient\u2019s brain were suggestive of sCJD on diffusion-weighted imaging (DWI) sequences, although the single coronal fluid-attenuated inversion recovery (FLAIR) sequence in this case was not diagnostic because of movement artifact. Results of cerebrospinal fluid (CSF) real-time quaking-induced conversion assay analysis and the direct detection assay for vCJD infection in the blood were negative. However, at autopsy, neuropathological examination revealed florid plaques, and biochemical analysis of prion protein (PrP) from the brain confirmed a type 2B profile, both characteristic of vCJD . This finding is within the range of previous transmission studies for UK vCJD in this mouse line (mean incubation 306\u2013387 dpi) and similar to those for BSE (mean incubation 316\u2013335 dpi). Clinical signs with individual incubation periods ranging from 300 to 392 days postinfection (dpi) were apparent in the mice. The major clinical signs were a loss of body weight and body condition with eye winking and gait abnormalities. Toward the end of the clinical phase, a wet genital area could also be observed. Pathologically confirmed disease developed in 14 of 16 mice vacuolation profile from clinically affected RIII mice and compared it with profiles from UK vCJD and BSE transmissions . We obseWe conducted an immunohistochemical analysis, which showed abnormal PrP deposition throughout the brain of both a granular and punctate nature (res). We identified a similar type 2B\u2013like pattern and glycosylation profile in the RIII mice. This profile is characterized by a predominance of the diglycosylated form of PrPres at \u224830 kDa, a monoglycosylated form at \u224827kDa, and an unglycosylated band at \u224819kDa (res. Biochemical analysis of the MV isolate confirmed the presence of protease-resistant PrP (PrPt \u224819kDa Figure. This transmission study in RIII mice provides evidence that the prion strain isolated from this confirmed case of vCJD in a 129MV person is the same as that identified in typical 129MM vCJD and BSE cases. Further characterization in a range of mouse models is ongoing. However, transmission to RIII mice in previous studies has led to definitive identification of several strains, vCJD and BSE in particular (PRNP codon 129 genotype has been shown to be a major factor influencing disease characteristics of Creutzfeldt-Jakob disease (PRNP background and investigations including CSF protein misfolding cyclic amplification (The clinical diagnosis in the MV case we report was uncertain while the patient was alive, and it was only at autopsy that neuropathology and biochemistry confirmed vCJD. The neurologic features alone cannot be used to discriminate between sCJD and vCJD, and the MRI findings on DWI imaging favored a diagnosis of sCJD. However, the high sensitivity and specificity of MRI for vCJD were determined by analyzing FLAIR images primarily (The identification of vCJD in a 129MV person may indicate the start of a second wave of vCJD in association with the 129MV genotype which is present in around 45% of the UK population (Additional information for study showing no adaption of the prion strain in a heterozygous case of variant Creutzfeldt-Jakob disease."}
+{"text": "While the COVID-19 pandemic posits a significant challenge to all societies around the world, it also reveals in the most dramatic manner the many abysmal differences between so-called advanced economies and the developing world."}
+{"text": "Stroke is one of the leading causes of death resulting in long term disability worldwide . OutcomeDecreased Aix and elder age are associated with higher in-hospital mortality in patients with acute ischemic stroke. Further studies are needed in order to clarify the paradoxical effect of arterial stiffness to patient's outcome after acute ischemic stroke.The authors declare no competing interests."}
+{"text": "Diabetic kidney disease (DKD) affects approximately one-third of patients with diabetes and taking into consideration the high cardiovascular risk burden associated to this condition a multifactorial therapeutic approach is traditionally recommended, in which glucose and blood pressure control play a central role. The inhibition of renin\u2013angiotensin\u2013aldosterone RAAS system represent traditionally the cornerstone of DKD. Clinical outcome trials have demonstrated clinical significant benefit in slowing nephropathy progression mainly in the presence of albuminuria. Thus, international guidelines mandate their use in such patients. Given the central role of RAAS activity in the pathogenesis and progression of renal and cardiovascular damage, a more profound inhibition of the system by the use of multiple agents has been proposed in the past, especially in the presence of proteinuria, however clinical trials have failed to confirm the usefulness of this therapeutic approach. Furthermore, whether strict blood pressure control and pharmacologic RAAS inhibition entails a favorable renal outcome in non-albuminuric patients is at present unclear. This aspect is becoming an important issue in the management of DKD since nonalbuminuric DKD is currently the prevailing presenting phenotype. For these reasons it would be advisable that blood pressure management should be tailored in each subject on the basis of the renal phenotype as well as related comorbidities. This article reviews the current literature and discusses potentials and limitation of targeting the RAAS in order to provide the greatest renal protection in DKD. Throughout their lifetime, approximately one-third of patients with diabetes will eventually develop diabetic kidney disease (DKD) . FurtherIn the context of this rather complex and clinically challenging scenario a multifactorial therapeutic approach has traditionally been recommended. As a matter of fact, more than a decade ago, in the Steno-2 study an intensified multifactorial intervention with tight glucose control, the use of renin\u2013angiotensin-aldosterone system (RAAS) blockers, aspirin, and lipid-lowering agents on top of behavior modification had been proved to effectively reduce CV morbidity and mortality over a long-term follow-up in patients with persistent microalbuminuria . NowadayHypertension is a common condition in patients with diabetes and its prevalence in subjects with DKD is significantly higher than in general population and increases gradually according to glomerular filtration rate (GFR) decline, reaching the 90% in ESKD subjects . TherefoAlbuminuria is a known marker of renal damage and has been shown to have a strong cardiovascular and renal predictive power. Furthermore, modifications of urinary albumin excretion under pharmacological treatment might impact CV and renal prognosis independent of blood pressure reduction \u201311. In tMore recent studies, however, have shown that DKD in both type 1 and type 2 diabetes has an heterogeneous histologic phenotype, with various involvement of glomeruli and the interstitium . On the DCRecent International Guidelines suggest DKD is a complex disease, wherein various pathological changes including glomerular hypertrophy with progressive mesangial expansion and tubulointerstitial fibrosis are associated with multiple pathophysiological abnormalities such as inappropriate activation of the RAAS at the systemic and tissue level , 23. HypMain clinical trials that have evaluated renal protective effect of RAAS blockade across the renal continuum in DKD are reported in Table\u00a0Patients with normal albuminuria In diabetic patients without microalbuminuria RAAS blockade has been studied to evaluate the effect on the transition from normoalbuminuria to microalbuminuria. Trials conducted on type 1 diabetic patients, such as Renin-Angiotensin System Study (RASS) [y (RASS) and Diaby (RASS) failed ty (RASS) , while iy (RASS) the 2 ary (RASS) the use Patients with moderately increased albuminuria As for the transition from microalbuminuria to overt proteinuria in the IRMA-2 (Effect of Irbesartan in the Development of Diabetic Nephropathy in Patients With T2DM) trial [M) trial irbesartPatients with severely increased albuminuria More solid data support the use of RAAS inhibitors in DKD with overt albuminuria. The Collaborative study group evaluated the impact of captopril versus placebo on CKD progression in patients with type 1 diabetes and proteinuria [teinuria . Despiteteinuria and IDNTteinuria trials cTherefore, the use of RAAS blockers has been considered for many years the gold standard therapy to reduce cardiovascular risk and to slow the progression of diabetic nephropathy and previous guidelines recommended the use of RAAS blockers in all patients with diabetes without distinction . HoweverAccordingly, more recently, guidelines do not recommend routine use of RAAS blockers in diabetic subjects unless in the presence of nephropathy with an urinary albumin-to-creatinine ratio greater than 30\u00a0mg/g creatinine in order to reduce the risk of progressive kidney disease , 36, 37.Several studies have explored the potential benefit of maximal inhibition of the RAAS by means of high doses monotherapy or combination drug. Dual RAAS blockade is based on the pathophysiological rationale of a more profound inhibition of the RAAS cascade which may counteract the well known \u201caldosterone escape\u201d phenomenon observed in patients treated with a single agent. However, disappointing results from several mega trials with hard endpoints have subsided the initial enthusiasm on the promising effects of dual RAAS blockade on surrogate outcomes. In fact, the combination of two RAAS blocking drugs did not provide considerable benefit in terms of long term renal protection and was accompanied by higher incidence of acute kidney injury and hyperkaliemia as compared to single-drug therapy \u201340. It iFinally, mineralocorticoid receptor inhibitors (MRI) such as spironolactone or eplerenone might offer an additional opportunity for RAAS intervention by counteracting the \u201caldosterone breakthrough\u201d that occurs in a subset of patients on RAAS-inhibiting therapy. Aldosterone is known to affect volume status by the regulating renal sodium reabsorption and exert profibrotic effects through increased production of TGF-beta, reactive oxygen, species, PAI-1 and increased collagen gene expression and synthesis , 42 and,Multiple trials have demonstrated that the use of RAAS blocking drugs can slow progression to ESKD in patients with diabetic nephropathy and proteinuria\u2009>\u2009300\u00a0mg/day, however single agent RAAS blockade is not sufficient in slowering progression in many patients. In fact, significant residual risk remains in patients with DN and many patients progress to ESKD despite standard recommended care, including optimal control of blood pressure, glycemia and lipids and the use of RAAS blockade , 50. FurGiven the steady increase in the prevalence of diabetes worldwide and the soaring costs related to its management, prevention and treatment of DKD remains an unmet clinical need. Within this context, recently developed therapeutic agents such as sodium-glucose co-transporter-2 inhibitors and glucagone like peptide-1 receptor agonist have shown promising therapeutic potential not only to reduce CV risk but also to slow the progression of kidney disease with beneficial effect on albuminuria as well as on GFR \u201355. As aBecause of their remarkable antiproteinuric and renoprotective activity, confirmed in many large trials, SGLT2i may soon become, in association with RAASi, the standard of care to prevent DKD and retard its progression.Diabetic kidney disease (DKD) is the leading cause of end-stage kidney disease and represent a significant cause of morbidity and mortality worldwide due to the related cardiovascular risk burden.The standard of care for management of DKD over the last three decades has been the control of cardiovascular risk factors and the pharmacologic inhibition of renin\u2013angiotensin\u2013aldosterone system (RAAS).Nowadays, non-albuminuric DKD is the prevailing phenotype. The nephroprotective role of intensive blood pressure control and the use of RAAS inhibitor in these patients is at present unclear.Recent evidence supports a renal protective effect of sodium-glucose cotransporter 2 (SGLT2) inhibitors independent of their hypoglycemic properties.We suggest that co-treatment with RAAS and SGLT2 inhibitors may represent the new era of therapeutic options for DKD."}
+{"text": "The COVID-19 pandemic has triggered an unprecedented economic crisis. This article analyses the impact of mandatory social distancing imposed by lockdown policies and voluntary social distancing triggered by COVID-19 fatality rates on GDP growth in the first three quarters of 2020 for a sample of 42 countries. OLS and IV results indicate an important role for the fatality rate, while panel regressions show that lockdown stringency is the more important driver of growth. When including lagged variables, more restrictive measures lead to lower GDP growth in the same quarter but are associated with a positive, catching-up effect in the following quarter."}
+{"text": "The current coronavirus disease 2019 (COVID-19) pandemic has global significance. From a neurological point of view, COVID-19 patients frequently present with neurological symptoms .We here analyzed current data of all inpatient PD patients in Germany as coded in the German Diagnosis-Related Groups (G-DRG) system which is relevant for reimbursement of inpatient treatment cost. For the year 2018, we extracted the data of PD patients to determine the presence of comorbidities with known high risk for a severe course of COVID-19 such as We found a strikingly high prevalence of these risk comorbidities in the PD cohort, especially in the patient subgroup without presence of motor fluctuations. This specifically supports the hypothesis that PD patients in general and some subgroups could be at a higher risk for a severe course of COVID-19. Moreover, we found a high level of care dependency of PD patients which makes it impossible to completely limit contacts to other people or self-isolate because of their need for care staff (Table\u00a0We additionally analyzed the inpatient prevalence of non-aspiration and aspiration pneumonia in which PD was coded only as secondary diagnosis to differentiate pneumonia subtypes . InteresIn summary, this nationalwide data from Germany points out several clinical characteristics of inpatient PD patients that are risk factors for a more severe course of COVID-19. Apart from the increased occurrence of pulmonary infections, strict social distancing is often difficult due to care dependency. We do not consider PD itself to represent a risk factor for COVID-19 and a diagnosis of PD should not lead to any difference in decisions making to treat COVID-19 in these patients. The frequent comorbidities with PD rather highlight the importance of preventive strategies such as telemedicine consultations and preventive testing of care staff. Neurologists and movement disorders specialists should consider a very careful attitude in the treatment of Parkinson\u2019s patients with prudent prevention of infections in these challenging times."}
+{"text": "Mediterranean Journal of Rheumatology. In the next pages, you will find interesting papers covering a wide spectrum of topics including education in Rheumatology, recent data for targeted synthetic disease-modifying antirheumatic drugs in psoriatic arthritis, metabolic bone disease, physical therapy, pathogenetic pathways of fibrosis in systemic inflammatory disorders as well as useful clinical cases with implications for daily clinical practice.On behalf of the Editorial Board, I welcome you to the December 2017 issue of the 1 Given the ongoing argument in Greece and other countries regarding changes and reorganization of training for Rheumatology trainees, this topical editorial can promote discussion and considerably contribute to the development of a fair and transparent system in favour of the national health system, rheumatology service delivery and physicians themselves.Andrew Hassell from Keele University UK gives a - very well-considered, given his enormous experience - personal view on the Rheumatology training process in the UK, highlighting the positive and negative aspects of key developments in terms of selection, supervision, assessment and quality assurance of training that have taken place over the last 2 decades.2 provide novel insights regarding the role of the canonical Wnt signaling pathway in the regulation of fibrotic process. It is known that Dickkopf-1 (Dkk-1) - an endogenous Wtn signaling pathway inhibitor - is involved in joint remodeling and represents a crucial player in the balance between joint destruction and new bone formation in rheumatoid arthritis and ankylosing spondylitis respectively, as well as in osteoporosis. Recent data indicate Wtn signaling as a mediator of transforming growth factor-beta (TGF-\u03b2) induced fibrosis suggesting that inhibition of this pathway via Dkk-1 may be an attractive therapeutic approach for halting fibrosis in several conditions.Klavdianou et al.3 review the utility of various types of physical therapy; such as electrical therapy, hydrotherapy, thermotherapy and therapeutic exercise in autoinflammatory diseases underlying for one more time the role of non-pharmacological therapeutic strategies in the overall management of systemic diseases and the necessity for an individualized treatment approach.Gurcay and Akinci4 describe the process of translating into Maltese language scoring algorithms for lupus individuals and how the questionnaires were validated by the patients. This has implications for many assessment tools if they are to be used in different languages.Apart from strictly clinical measurements, the modern management of lupus patients necessitates the assessment of parameters such as fatigue, sleep quality and overall health status. In an interesting article, Magro et al.5 She discusses the new trends in treatment strategies of rheumatic diseases, the development of a three-tier standardized system for the management of these conditions including amongst others treatment protocols, rehabilitation and patient education programs. Of note, T2T protocols for rheumatoid arthritis in Russia are based on the initiation of high doses subcutaneous methotrexate with considerably good outcomes. There are obvious opportunities for learning from each other\u2019s experience in different countries and health systems, and for research and practice evaluation collaborations in the future, activities that MJR wants very much to support and facilitate.The challenges of rheumatology care and research in modern Russia are presented by Elena Tchetina.6 This mini review concludes with some valuable points weighing up sun exposure as a source of Vitamin-D and risk factor for skin cancer from a dermatology perspective.Dr Clifopoulos discusses the effect of Vitamin-D levels on vascular morbidity and skin cancer risk concluding that there are no robust data supporting any direct and causal relationship between these conditions.7Prof Sakkas comments on emerging data from double-blind controlled studies published a couple of months ago suggesting that tofacitinib - an oral Janus kinase inhibitor- may represent an alternative treatment option for either biologic na\u00efve or TNF-a inhibitor exposed patients with psoriatic arthritis who are unresponsive to methotrexate.8 difficulties in treating complicated patients with biologic drugs and how to overcome these problems9 as well as clinical images from a lupus patient with significant cardiac involvement.10In this issue, you can also find a couple of interesting cases discussing common clinical problems; such as diagnostic uncertainties in anti-synthetase syndrome,th century proposed by French physician Landr\u00e9-Beau-vais.11Last but not least, we are very happy to host in this issue a nice historical note by Tsoucalas and Sgantzos who remind the very first \u2013 almost forgotten and underappreciated - description of rheumatoid arthritis back in early 19MJR in 2017.Finally, we would like to express our sincere gratitude to the reviewers \u2013 listed in the current issue - who provided their judgment concerning the quality of the submitted papers and have enormously contributed to the progress of the"}
+{"text": "Neurotrophin signaling via receptor tyrosine kinases is essential for the development and function of the nervous system in vertebrates. TrkB activation and signaling show substantial differences to other receptor tyrosine kinases of the Trk family that mediate the responses to nerve growth factor and neurotrophin-3. Growing evidence suggests that TrkB cell surface expression is highly regulated and determines the sensitivity of neurons to brain-derived neurotrophic factor (BDNF). This translocation of TrkB depends on co-factors and modulators of cAMP levels, N-glycosylation, and receptor transactivation. This process can occur in very short time periods and the resulting rapid modulation of target cell sensitivity to BDNF could represent a mechanism for fine-tuning\u00a0of synaptic plasticity and communication in complex neuronal networks. This review focuses on those modulatory mechanisms in neurons that regulate responsiveness to BDNF via control of TrkB surface expression. Nerve growth factor (NGF) was the first member of the neurotrophin family that was discovered as a survival factor for distinct populations of neurons during a critical period of development. When brain-derived neurotrophic factor (BDNF) and the other members of the neurotrophin family were identified, it became apparent that the responsiveness of BDNF-sensitive neurons was also qualitatively different from NGF-dependent neurons. These differences can be explained by differential target cell responsiveness to BDNF rather than differential expression of the corresponding TrkB receptor. In the present article, we aim to provide an overview about some historic aspects that first pointed to differences between NGF and BDNF, and recent findings on molecular mechanisms how target cell sensitivity to BDNF signaling is regulated by TrkB cell surface expression. These mechanisms could explain differential responsiveness of developing neurons to NGF and BDNF.Work by Viktor Hamburger and others has shown that many types of neurons are generated in excess in the embryonic nervous system of vertebrates and that only subpopulations that are supported by neurotrophic factors are maintained (reviewed by Purves and Lichtman 2A-R) depend on the presence of TrkB and spinal motoneurons . First, neuronal activity triggers Ca2+ entry via AMPA and NMDA receptors (a). Ca2+ stimulates adenylyl cyclase activity, thus causing an elevation of cAMP levels which trigger PKA and PI3K activity (b). This leads to the mobilization of a rapidly available intracellular reserve pool of TrkB (c). TrkB containing vesicles are transported in a microtubule-dependent manner to distinct sites at the cell surface where they integrate, such as dendritic spines. In the dendritic target area, TrkB is transported in an actin-dependent manner via Myosin Va and associates with PSD-95 for guided integration into the PSD (d). TrkB is then able to bind BDNF and gets activated via autophosphorylation at C-terminal tyrosine residues (e).In summary, these studies provide evidence that cAMP-mediated TrkB surface translocation in dendritic spines but also axon terminals involves several critical steps Fig.\u00a0. First, Elevated levels of cAMP play a central role in the translocation of TrkB to distinct cell surface regions within neurons. Thus, it is not surprising that G protein\u2013coupled receptors (GPCRs) were proposed as key activators and potential central physiological regulators for the effects observed in cultured neurons after cAMP treatment , phospholipase C (PLC), or L- and N-type Ca2+ channels via stimulation of phospholipase C-beta (PLC-\u03b2) activity constitute the largest and most diverse family of transmembrane receptors , or mannose (Man) modifies the core oligosaccharide (Moremen et al. Glycan structures on newly synthesized glycoproteins are crucial for protein secretion. N-glycosylation is the most frequent form of posttranslational modification in the ER (Moremen et al. An unconventional secretory pathway from the ER to the cell surface that is independent of the Golgi apparatus has recently been described (Hanus et al. Taken together, N-glycosylation appears as a modulatory mechanism for retention or export of Trk receptors from the ER. While TrkA and insulin receptors require N-glycosylation for surface export, the same condition retains TrkB in the ER, leading to the conclusion that N-glycosylation has individual effects on distinct Trk receptors. Notably, TrkB export from the ER after EGF-mediated transactivation is a very fast process and occurs within seconds. For this reason, it appears unlikely that this mechanism involves processing in the ERGIC and Golgi. This observation rather favors the idea of a direct ER export to the cell surface (Puehringer et al. The development and function of neuronal networks, especially correct communication and adequate responses to incoming synaptic signals, crucially depend on neurotrophin signaling. TrkB and TrkA differ in the way how they induce cell death in the absence of corresponding ligands (Nikoletopoulou et al. The regulation of TrkB cell surface expression has many advantages for the function of BDNF/TrkB signaling in the context of synaptic plasticity. Changes in subcellular cAMP could act in a highly local manner and thus fine-tune individual synapses (Maiellaro et al. So far, it remains elusive whether the simultaneous activity of different afferents is required to induce BDNF-/TrkB-mediated LTP in such circuits. LTP then would be induced in a spatio-temporal manner only when both afferents are active. On the other side, such a scenario also would require a highly precise mechanism for removal of TrkB from the cell surface, and it is not clear whether this occurs only after ligand-induced endocytosis or also by other mechanisms. Alterations of such control mechanisms could cause aberrant synaptic plasticity and network communication and thus might be involved in numerous neuropsychiatric diseases."}
+{"text": "Tumour growth is not solely driven by tumour cell-intrinsic mechanisms, but also depends on paracrine signals provided by the tumour micro-environment. These signals comprise cytokines and growth factors that are synthesized as trans-membrane proteins and need to be liberated by limited proteolysis also termed ectodomain shedding. Members of the family of A disintegrin and metalloproteases (ADAM) are major mediators of ectodomain shedding and therefore initiators of paracrine signal transduction. In this review, we summarize the current knowledge on how ADAM proteases on tumour cells but also on cells of the tumour micro-environment contribute to the formation of gastrointestinal tumours, and discuss how these processes can be exploited pharmacologically. Gastrointestinal organs are composed of highly complex tissue and most of these tissues are constantly replenished by the proliferation and differentiation of multi-potent tissue stem cells. These processes are regulated by paracrine signals provided by cells of the stem cell niche. Moreover, signals emitted from inflammatory cells recruited to damaged or infected tissue contribute to the mobilisation of tissue stem cells, regeneration and remodelling of the damaged tissue. Several paracrine signal proteins are synthesized as membrane-bound proteins and need to be proteolytically processed to give rise to soluble factors that then can act in a paracrine or even an endocrine fashion. Additionally, receptor molecules and proteins of the extracellular matrix are subject to proteolytic remodelling. Members of the A disintegrin and metalloprotease (ADAM) family are involved in all these processes. Aberrant activation of paracrine signal transduction is key to the development of gastrointestinal tumours and it is therefore not surprising that ADAM proteases play a decisive role in gastrointestinal tumorigenesis. Here, we give an overview of ADAM protease biology and the current knowledge regarding their tumour-promoting role in gastrointestinal malignancies. We further discuss how ADAM proteases can be therapeutically targeted for the treatment of gastrointestinal cancers.Limited ectodomain proteolysis is a regulatory mechanism mediated by proteases that converts membrane-bound proteins irreversibly into their soluble isoforms. The family of A disintegrin and metalloproteases (ADAMs) consists of 21 members with 13 Proteolytic activity of ADAM proteases can either be constitutive or activated by signal transduction pathways. Regulation of ADAM protease activity is best described for the family members ADAM10 and ADAM17. Members of the membrane multi-pass families inactive rhomboids (iRhoms) ,10 and tThe rhomboid family comprises several transmembrane proteins that are evolutionarily conserved. The inactive rhomboid members lack the amino-acid residues that are indispensable for catalytic activity.rhomboid family member (RHBDF) 2 gene. iRhom2 is localized in the ER and shuttles ADAM17 from the ER to the Golgi apparatus . PDGFR\u03b2 was previously shown to induce ADAM17 activation . . 111]. I+ breast cancer, large B-cell non-Hodgkin lymphoma . . 129]. FThere is now a growing body of evidence that members of the ADAM protease family are over-expressed on tumour cells and are correlated with tumour formation and the progression of gastrointestinal tumours (summarized in Given the fact that ADAM proteases generate paracrine signals, the role of ADAM proteases in the tumour microenvironment needs more attention. Cell type-specific gene targeting in mouse models of cancer combined with unbiased proteomic substrate identification will improve our understanding of how ADAM proteases shape the tumour microenvironment and promote tumour metastasis. This will also help to design tissue-specific ADAM protease inhibitors or to target ADAM-mediated novel tumour cell vulnerabilities, with the aim to reduce the severe side effects encountered with current ADAM protease inhibitors."}
+{"text": "Phosphorus is a macromineral with numerous important biologic functions. Metabolites with a phosphorus moiety include structural lipids of the cell membrane (phospholipids) and nucleic acid molecules. Phosphorus metabolites also play an important role in metabolic activity and energy metabolism, processes that inherently depend on the capacity to phosphorylate intermediate metabolites and to store energy released during oxidative phosphorylation in high-energy phosphate bonds such as ATP or phosphocreatine. In skeletal muscle, phosphorus metabolites are essential for providing high-energy phosphates for contractile activity and structural integrity of the sarcolemma membrane and intracellular organelles including the sarcoplasmic and mitochondrial reticulum.31P-MRS) is a valuable tool to assess in vivo phosphorus metabolites and has been used to further understand skeletal muscle aging. While the phosphocreatine peak is most prominent in the spectra, several additional peaks 1 and 2, putative readouts of membrane damage) can be quantified by obtaining the fully relaxed spectrum over a longer (12 minute) acquisition time to improve spectral resolution. This is important, as recent work has shown that resting levels of phosphocreatine and PDE in skeletal muscle appear be linked with whole-body and skeletal muscle metabolism including insulin sensitivity, glucose homeostasis, and mitochondrial content [in vivo phosphocreatine content was associated with lower muscle volume and knee extensor peak power, while an elevated PDE2 peak was negatively related to these variables. We further validated these findings in a second group of well-phenotyped older adults classified as non-sarcopenic or sarcopenic based on the European Working Group on Sarcopenia in Older People (EWGSOP) definition and observed that phosphocreatine was lower in muscle from sarcopenic adults while PDE2 was higher.The age-related loss of skeletal muscle mass and function (sarcopenia) is a significant healthcare problem for older adults and an unmet medical need. The use of 31-phosphorus magnetic resonance spectroscopy . In skelCellular membranes consist primarily of phospholipids, including phosphatidylcholine (PC) and phosphatidylethanolamine (PE). Along with maintaining structure, the phospholipid composition of cellular membranes can impact several biological functions important to skeletal muscle health, including controlling intracellular calcium levels and mitochondrial energetics . Given tIn order to successfully develop effective therapeutics to halt the progression of sarcopenia it is important to understand the underlying etiology to identify potential therapeutic targets. Our results suggest phosphorus metabolites involved in energy metabolism (phosphocreatine) and cellular membrane integrity (PDE and phospholipids) are distinct in sarcopenia and are related to lower muscle mass and function in older adults . This ad"}
+{"text": "This paper presents a lightweight, infrastructureless head-worn interface for robust and real-time robot control in Cartesian space using head- and eye-gaze. The interface comes at a total weight of just 162 g. It combines a state-of-the-art visual simultaneous localization and mapping algorithm (ORB-SLAM 2) for RGB-D cameras with a Magnetic Angular rate Gravity (MARG)-sensor filter. The data fusion process is designed to dynamically switch between magnetic, inertial and visual heading sources to enable robust orientation estimation under various disturbances, e.g., magnetic disturbances or degraded visual sensor data. The interface furthermore delivers accurate eye- and head-gaze vectors to enable precise robot end effector (EFF) positioning and employs a head motion mapping technique to effectively control the robots end effector orientation. An experimental proof of concept demonstrates that the proposed interface and its data fusion process generate reliable and robust pose estimation. The three-dimensional head- and eye-gaze position estimation pipeline delivers a mean Euclidean error of Direct human robot collaboration demands robust interfaces to interact with or control a robotic system in a human safe manner. Especially in situations where the hands of a person are either occupied (industry 4.0) or not usable, e.g., people with severe physical disabilities, a safe, reliable and intuitive communication source that enables a direct interaction with the robotic system should be provided. In the context of assistive robotics, most of these interfaces have been designed hands-free ,2,3.A robust hands-free interface provides the opportunity for people suffering from physical motor impairments the opportunity to be (re)integrated into working life, e.g., for pick and place tasks in a library workplace designed for people with tetraplegia . The queThis paper presents a lightweight, infrastructureless head-worn interface for robust and real-time robot control with a total weight of just 162 g, see Recent Interfaces focus on the use of head motion or eye tracking data to allow for continuous robot control and deliver a low-cost and intuitive control mechanism ,11.Head motion based interfaces usually employ low-cost sensors, i.e., Magnetic AngularRate Gravity (MARG)-sensors, to estimate orientation without a need for static infrastructure, e.g., markers, that would limit the useable motion range and environment . The oriEye-gaze based robot control utilizes the natural eye motion of a human. A recent approach utilizes 2D gaze points and gaze gestures to control the pose of a robotic arm in three-dimensional space . The useTostado et al. proposedScalera et al. present Dezmien et al. developeA recent approach delivers a potential interface for a full eye-gaze based control of a robotic arm by combining eye tracking, head tracking and depth information . This inThe HoloLens 1 is a commercially available interface that is capable of delivering accurate three-dimensional head-gaze but lacks the ability to track eye positions and deliver eye-gaze. The HoloLens one is weighing 579 g in total . The cenWith the recent technological advantages in camera miniaturization, mobile eye tracking and computer vision this work aims to fill the gap and propose an infrastructureless and lightweight solution for accurate head- and eye-gaze based six DoF robot control in Cartesian space to facilitate hands free and multi-modal human robot collaboration. It enables head motion, head-gaze and eye-gaze based robot teleoperation in six degrees of freedom. The interface combines a binocular head-worn eye tracker, a low-cost RGB-D world camera and a low-cost custom MARG-sensor board to calculate the users head pose and gaze point in three-dimensional space with respect to a user defined world coordinate system. The proposed system does not rely on stationary cameras and is therefore infrastructureless and mobile regarding potential operational environments and usable motion space. The interface utilizes a state of the art and completely open source visual SLAM approach, namely ORB-SLAM 2 and fuseWithin this work an interface for six dimensional robot teleoperation in Cartesian space, with three dimensions for orientation and three dimensions for position control, respectively, is proposed. This interface is capable of head- or eye-gaze based point-to-point position teleoperation of a robotic arm as well as head motion based EFF orientation control. This is achieved by combining an active infrared stereo camera and a custom MARG-sensor in a 3D printed case that is mounted on top of a mobile binocular eye tracker. The interface is independent of external infrastructure and therefore usable within most indoor environments.The Interface consists of three main hardware parts. The infrared stereo camera, a custom MARG-sensor board and a binocular mobile eye tracker with a USB-C world camera connector. This hardware setup tackles various software tasks which rely on each other and enable the robot teleoperation. We divide these tasks into the following categories and explain them in detail in the subsections below: (A) 3D head pose estimation through visual and inertial data fusion, (B) 3D gaze estimation with respect to the robot coordinate frame and (C) the application interface for the robot control. To align all coordinate frames the head pose estimation block also features an input for any absolute pose measurement system . All software components besides the MARG-filter framework are written in C++ and embedded in the Robot Operating System (ROS) . ROS ena\u00ae RealSense\u2122 [In this work we use an active infrared stereo camera, namely the d435 from IntelalSense\u2122 . This caalSense\u2122 . One of alSense\u2122 . The d43The head pose estimation block A) from The proposed data fusion addresses the environmental challenges which arise from the teleoperation task and is not reliably solvable using only a single sensing technology. For example, the orientation estimation from MARG-sensors is based on the numerical integration of angular rate measured through the gyroscope. These low-cost consumer grade MEMS based gyroscopes suffer from DC-offsets, known as gyroscope bias. This bias leads to a drift in the integrated angles. This drift is typically compensated by using global references, i.e., direction of gravity and geomagnetic field of the earth measured by the accelerometer and magnetometer, in the data fusion process. However, the measurements are subject to external disturbances effecting the measured direction of the reference vectors and therefore leading to orientation estimation errors. This is especially the case for the measurement of the geomagnetic field vector used to correct heading estimation errors. Indoor scenarios and the presence of ferromagnetic and permanent magnetic materials will lead to varying magnetic field vectors which degrade the effect from the geomagnetic vector measurement on the heading correction. Within this work we use visual odometry data in the data fusion process of the MARG-sensor to apply heading correction and improve absolute orientation estimation in indoor scenarios. On the other hand, the sole use of visual odometry is not robust related to the proposed scenario. Using vision based techniques only would also result in accumulations of errors since the visual scenery will be exposed to a lot of relative motion from the robotic system. Robust visual odometry is based on the dominance of static feature points over moving objects and therefore degrades in the presence of moving objects, in this case the moving robot system.To address these issues this work utilizes a visual SLAM approach to (a) create an accurate map of the working area to relocalize within the map based on the detected and matched features in order to increase accuracy and robustness and (b) fuse the measurements with MARG-sensor data to reduce the impact of relative motion in front of the cameras visual scene on the orientation estimation and (c) to be able to reset to a known orientation based on the discrete MARG-sensor estimations. The head pose estimation block fuses visual and inertial sensor readings to form a robust pose estimation of a users head without the need for external marker placement, i.e., fiducial markers. Due to the recent technology and research efforts in camera technologies, depth camera sensors have become small, fast, reliable and affordable when it comes to everyday use. Using a depth camera over a regular monocular 2D image sensor adds a complete new dimension and has major advantages when it comes to pose estimation in general. We therefore use a stereo depth camera as the input measurement for a visual SLAM approach and combine the orientation measurement with a MARG-sensors orientation estimation to generate reliable and robust orientation even under complete loss of visual information. The visual position estimation is used as true head position since MARG-sensors are known for accumulating errors upon estimating translation from double integration of acceleration and might therefore lead to wrong position estimation.The visual SLAM framework is part of block A, the head pose estimation pipeline in We use the RGB-D based implementation of ORB-SLAM 2 but instead of supplying the RGB image, we use the infrared image of the first infrared camera sensor from the stereo infrared module of the RealSense\u2122 d435 camera . This image is the basis for the depth image alignment. This avoids the need for an alignment step between RGB and depth image. Furthermore, the RGB camera is rolling shutter whereas the infrared cameras have global shutter and will therefore contain less motion blur. The infrared cameras also features a wider field of view (FOV) compared to the RGB camera (H \u00d7 V \u00d7 D-Infrared: \u00d741\u2218\u00d772\u2218 ). Using This algorithm is capable of generating reliable position and orientation data while visual frames are available. If a sufficient large map has been created (>50 keyframes) we enable the localization only mode to reduce computational costs and reduce pose estimation errors from relative motion in the visual scenery. To further enhance robustness, we disable the visual odometry constant velocity motion model within the localization mode. This ensures that the pose estimation does rely on matched feature points in the map only and does not interpolate between unmatched features using the velocity model. On the one hand this procedure ensures that the visual pose estimation is less error-prone to relative motion in the scene. On the other hand the overall tracking robustness of ORB-SLAM is reduced which will result in localization failures during strong dynamic motion. If ORB-SLAM fails to localize in the scene the mapping mode is enabled again. The visual SLAM framework passes the visual orientation data to the MARG-filter for data fusion purposes described in The second algorithm to robust pose estimation utilizes MARG-sensor measurements fused with visual heading information from the V-SLAM approach. The fusion of data are used to calculate an orientation estimation. The following section first explains the MARG filter framework and secondly introduces the data fusion between visual heading information and MARG-sensor orientation estimation in more detail. The data fusion process consists out of a dual stage filter that incorporates a gradient descent filter stage (GDA), calculating a correction quaternion based on reference sensors (accelerometer and magnetometer) and fuses it with a gyroscope based prediction quaternion inside a linear Kalman filter (KF). The complete filter derivation is given in . The firThe solution proposed by Madgwick et al. is basedThe MARG-filter framework transfers the iteratively updated quaternion, calculated at the onboard MCU of the MARG-sensor, to the visual SLAM algorithm. The quaternion is split into a roll and pitch quaternion as well as a yaw quaternion. The roll and pitch quaternion is directly used as robust input for orientation information, whereas the yaw quaternion is corrected within the visual SLAM framework using the V-SLAM based heading vector. This is because the yaw quaternion is subject to drift originating from the gyroscope offset, which dynamically changes over time due to temperature and mechanical packaging conditions. Within this work the gyroscope offset drift in heading direction is corrected by applying a set of equations to calculate the visual heading vector within the RGB-D odometry framework. In our previous work we proposed the prior mentioned set of equations to calculate an IMU heading vector and apply it to a GDA based filter while magnetic disturbance is present . The IMUThe quaternion The heading part of the transformed visual quaternion is extracted using the following processSecondly a roll and pitch quaternion is calculated based on the iteratively updated orientation estimation from the MARG-sensor by conjugate quaternion multiplication of the heading quaternion from the MARG-sensor and the current output quaternion, to get rid of the heading rotationA new quaternion is formed that represents the complete visual heading quaternion by quaternion multiplication from the visual heading and the roll and pitch quaternionThis quaternion is now used to directly transform an x-axis unit vector into the visual heading vector by quaternion multiplicationThe visual heading vector The proposed mechanism of calculating a substitute for the GDA heading vector is not limited to the visual heading vector substitute presented here. In the case of degraded data from the RGB-D odometry framework, e.g., visual occlusion, the procedure enables the use of IMU or magnetometer data for the calculation of the heading vector. Switching in between the three heading vector modes based on visual, magnetic and inertial data, respectively, allows robust heading estimation based on the current availability and reliability of the different sensor measurements. In the following inertial and magnetic heading vector calculation is presented in more detail.The method for calculating the heading vector Equation with thequations \u20137). The. TheBN\u2192Iquations which alThe magnetic heading is calculated based on cross product between the measured gravity and magnetic field vectors from the MARG-sensor. More details are given in reference .Regardless of whether the heading vector is calculated based on visual, IMU or magnetic data it represents redundant information perpendicular to the plane defined by the pitch and roll component. However, in the case of disturbance of any data source the other sensors are used to calculate the heading vector. The result is a robust and complete orientation estimation under various disturbances.The filter switches between the heading sources based on vector scalar product of the heading vector based on visual, IMU or magnetic data and the current output of the Kalman filter heading estimateThe filter selects the most reliable heading source from the relative deviations 11) descrlity see .The presented fusion approach allows for robust orientation estimation even if visual feedback is lost or magnetic disturbance is present and therefore enables robust head pose estimation which is key for mobile and accurate gaze based robot control.The estimated head pose in the MARG-sensor navigation frame is transformed into the robots coordinate system to allow for direct orientation and position estimation in the applications Cartesian space.The proposed interface is designed to generate two different gaze signals: eye-gaze and head-gaze, respectively. First eye-gaze mapping is described followed by gaze transformation, see Obtaining accurate eye-gaze data strongly depends on the eye to world camera calibration. Three-dimensional eye-gaze estimation from binocular gaze ray intersection are heavily dependent on the eye model and calibration accuracy . InsteadIn this work a lightweight binocular eye tracker with an USB-C mount from Pupil Labs is used. We use the pupil labs open source software pupil service . The pupUsing the pinhole camera model without lens distortion see a, a 3D pLeaving out the perspective transformation, assuming the camera coordinate is the origin, we can rewrite it to the following:Z from the depth image stream which is aligned to the infrared image stream. Having Z we can rearrange and reduce the equation to get the X and Y coordinatesSince we get the pixel coordinates Head pose estimate and gaze mapper outputs are the input variables for the 3D gaze transformer, see The 3D vector Substituting the rotation matrix from the perspective transformation by two-sided quaternion multiplication results in the following formula for 3D world gaze estimationUsing the above mentioned setup allows for accurate 3D eye-gaze estimation in a working area, that is restricted by the RGB-D cameras depth resolution. The gaze mapping method will only correspond to the pixel value chosen.Z from vector B). This results in the following set of equations to calculate the projected depth x and y-axis displacement of the laser pointer,N), respectively. The laser pointers\u2019 pixel position is calculated based on Equation 16). SincEquation where thThere are various strategies for control of a robot in 3D space by head motions. In this work we use two control strategies to precisely control the robots EFF in Cartesian space in all 6 DoF\u2019s. The first control strategy uses head- or eye-gaze to control the robots EFF\u2019s position in 3D Cartesian space, while the orientation stays fixed. The second mode utilizes head motion to control the robots EFF\u2019s orientation. This strategy employs a motion mapping between the 3 DoF of the humans head rotation onto the robots EFF orientation. This is based on the work from Rudigkeit et al. ,6. The uIn position control the 3D gaze point the long term heading drift reduction through the proposed visual and inertial data fusion, in contrast to inertial or visual data only orientation estimation, and (b) the short term orientation estimation stability if visual data are not available and (c) proof of functionality of the interface for real world gaze based robot control.The accuracy of the pose estimation with the proposed interface is benchmarked against an infrared based marker system from Qualisys . TherefoFor eye-gaze accuracy tests a single calibration marker (AprilTag ) is presThe same setup is used to investigate head-gaze accuracy. The laser diode is turned on to give the user feedback of the current head-gaze point. Likewise, to the eye-gaze experiment the user starts focusing targets with the laser dot for around The data streams of the proposed interface and the ground truth motion capture data are synchronized via timestamp based filtering from a custom ROS-node. The recording node ensures that maximum latency between the data streams is about 3 ms in total between the data streams. The data streams are synchronized at a 100 Hz rate.The proof of concept for the full gaze based control pipeline is tested on a real robotic system. The user randomly gazes at five different target points inside a robots working area for 20 min in total. The user blinks with the left eye to send the gaze point to the robot control pipeline upon which the robot moves to this point. The user sits in front of a dual arm robotic system and is in control of one arm, see The presented data fusion approach from the combination of the MARG-filter and RGB-D SLAM framework\u2019s is evaluated based on the accuracy of the orientation and position estimation and presented in Furthermore this work presents an eye-gaze or head-gaze based modality to move the robot to a desired point in three-dimensional space. Accuracy of the 3D gaze point estimation is also benchmarked against the Qualisys system in Head- and eye-gaze accuracy are calculated from 15 trials for each gaze vector method, respectively. The data was accumulated for three male participants in the age of 29\u201335. Two individuals wear glasses.Lastly the results for gaze based robot control in a real world scenario with a robotic system are reported in The orientation estimation accuracy is calculated as the mean of the RMSE values (root mean squared error) between ground truth Qualisys data, the visual-inertial and inertial only orientation estimations for all 30 trials. RMSE values for visual only data is not calculated since the RMSE will change with respect to the number of visual data losses and the magnitude of error compared to ground truth during these losses. Furthermore, the ORB SLAM framework is resetted if relocalization fails within a time frame of five seconds and will be aligned with the MARG-sensors orientation estimation, compare The results are presented as Euler angles in degrees, compare The proposed visual inertial orientation estimation pipeline reduces the gyro based drift accumulation for the yaw angle estimate to a minimum compared to the inertial only orientation estimation. During all trials the proposed fusion approach maintains the orientation and results in a mean RMSE drift of tion see . Pitch aThe proposed visual inertial orientation estimation pipeline significantly reduces accumulation of drift in the heading estimate in magnetically disturbed environments and enables full quaternion based orientation calculation, even if the visual heading vector is not available, compare x, y, z) in total.Trajectory estimation accuracy is calculated as the mean of the RMSE values of the visual position estimation and the ground truth Qualisys data and is presented in meters. The mean Euclidean position estimation error for the total of 30 trials is z-axis for a short duration of The trajectory estimation relies on visual position estimation from the ORB SLAM framework and transformation into the correct coordinate frame based on the visual and inertial based orientation estimation. This setup allows for accurate position estimation while visual pose estimation is available. If visual information vanishes, the last known position is held until visual position estimation is available again. If the local map from ORB-SLAM is sufficient, a relocalization and recovery is possible which will result in a small error in the position estimation. Relocalization is effective for example at minute Gaze point accuracy is divided into two subsections, head- and eye-gaze accuracy, respectively. The accuracy for either method is calculated based on mean error values between ground truth values of the target points from Qualisys measurements and the estimated head or eye-gaze point on the target. A mean gaze point is calculated for each of the 24 targets. A total of 30 trials was recorded, 15 for either head and eye-gaze target positions.The head-gaze error is increasing with distance between the participant and the target. Target points at the more distant end of the table have a higher standard deviation and larger mean error compared to the targets in the front of the table see b. This iBesides head-gaze the interface and data fusion process presented here also enable three-dimensional eye-gaze position estimation.Eye-gaze point estimation is less accurate when compared to head-gaze estimation, see This subsection presents a proof of functionality of the head-gaze based control pipeline in a real world robot control application. The mean Euclidean RMSE for head-gaze based position control results in This work presents a mobile head-worn interface that enables a user to accurately control a robotic arm in 3D Cartesian space via head or eye-gaze. Furthermore, it enables to control the orientation of the end effector of a robotic arm by using accurate 3D head motion angles. The exclusive use of a camera with V-SLAM method or the exclusive use of MARG-sensors for robust estimation of the heading angle shows different intrinsic features in the time domain. While purely visual data from the V-SLAM method have the disadvantage at higher dynamics, i.e., at strong relative movement of the robot arm in the scene, the IMU-sensors show a drift of the heading angle at very slow movements of the head. This work estimates a robust heading angle by fusion of data from a V-SLAM camera with a MARG-sensor. Even though other interfaces exist, these might be obstructive or to heavy for people with severe physical disabilities, e.g., people suffering from paraplegia. The proposed interface is lightweight and mobile and can be used without the need for external reference markers or static cameras.The data fusion process generates robust and accurate orientation and position estimation of a users head with respect to a dedicated workspace in indoor environments and is capable of switching between visual-inertial, inertial only and inertial-magnetic orientation estimation, based on reliability of sensor data. The presented data fusion is infrastructureless and therefore not dependent on any external references, e.g., fiducial markers, stationary camera equipment and so on. The data fusion process is capable of delivering robust orientation and position even while subject to significant relative motion from the robotic system.The head or eye-gaze control enables an intuitive communication channel for robot collaboration that facilitates natural gaze based task interaction. Depending on the desired accuracy and size of the workspace, head or eye-gaze could be used interchangeable. For example, the 3D eye-gaze point could be used to quickly determine a ROI for the robot and switch towards head-gaze for accurate control of the end effector position. If the eye-gaze experiences an offset due to slippage from the eye-tracker framer a user can switch towards head-gaze mode and thus maintain control and safety. To further enhance robot end effector positioning precision a mixed control strategy could be used. The head or eye-gaze could be used to determine an ROI for the robots TCP and afterwards switch to use head motion mapping for precise end effector position. This can be achieved by simply using the head motion mapping approach bypassing the PID controller into the jogger node to move the arm in Cartesian position space. The presented interface allows for a multitude of new interaction strategies which will be elaborated in future work.The interface enables a variety of new control and teleoperation mechanisms for human robot collaboration. For example, the eye-gaze position estimation and head motion measurement could be used in direct combination to translate and rotate the robots EFF at the same time without switching motion states, i.e., fixating a target object with the eyes and directly rotating the head in the desired orientation.Furthermore, future research will focus on utilizing the Cartesian gaze point estimation for semi autonomous object grasping. The three-dimensional gaze position output could be used to set a Cartesian region of interest (ROI) for a robotic arm that is equipped with a wrist camera. The estimation of the ROI of the object enables the wrist camera on the robotic arm to accurately localize and grab the object. This procedure could lead to a more natural way of human robot collaboration by just gazing at an object of interest therefore effectively reducing the number of control inputs or motion groups needed.The proposed interface could also be used in various human robot applications. For example, in robotic painting. The presented interface could be used directly on top of the canvas at any location inside the robots workspace and without the need for a dedicated computer screen. This could represent a more natural way of drawing since the head- or eye-gaze point is directly reflected by the robots TCP motion on the same plane. A further example is assembly of small parts. We are planning on using the interface in an assembly task that utilizes the humans vision and decision-making skills to control a robotic arm in order to separate and grab parts from bulk containers. After separation, the parts are placed inside a magazine that is used by a second robotic arm to autonomously assemble the full assembly-module."}
+{"text": "The healthy aging model of the World Health Organization (2015) highlights the value of assessing and monitoring everyday activities in understanding health in old age. This symposium includes four studies that used the Electronically Activated Recorder (EAR), a portable recording device that periodically collects sound snippets in everyday life, to assess various real-life cognitive activities in the context of healthy aging. The four studies collected over 100,000 sound snippets (30-seconds long) over a few days from young and older adults in the US and Switzerland. Participants\u2019 speech in the sound snippets were transcribed and coded for different cognitive activity information. Specifically, Haas and Kliegel have investigated the \u201cprospective memory paradox\u201d by examining the commonality and differences in utterances about retrospective and prospective memory failure in young and older adults\u2019 everyday conversations. Demiray and colleagues investigated the relation between autobiographical memory functions and conversation types in young and older adults in relation to well-being. Luo and colleagues have identified the compensatory function of real-world contexts in cognitive aging: Their study showed that older adults benefited from talking with their spouse in producing complex grammatical structures. Finally, Polsinelli and colleagues found robust associations between language markers and executive functions, highlighting the potential use of spontaneous speech in predicting cognitive status in healthy older adults. Finally, Prof. Matthew Grilli will serve as a discussant and provide an integrative discussion of the papers, informed by his extensive work on clinical and cognitive neuroscience of memory in relation to real-life contexts."}
+{"text": "Whether to don face masks or facial coverings to prevent community spread of coronavirus disease 2019 (COVID-19) has perhaps been one of the most argued and divisive issues, initially between East Asia and the West and later within western countries. Even the World Health Organization (WHO) had prevaricated on the issue during the initial months of the pandemic until it advised governments to \u2018encourage the general public to wear masks in specific situations and settings as part of a comprehensive approach to suppress COVID-19 transmission\u2019 in guidance issued in June 2020 [To assess the appropriateness of masks as an intervention measure, it is important to first understand the aerobiology and modes of transmission of COVID-19. There is general agreement that transmission risk is increased with prolonged close contact. The question concerning longer-range aerosol transmission remains a subject of strong debate. Severe acute respiratory syndrome coronavirus 2 (SARS-CoV-2) RNA detection in aerosols has been reported in some retrospective case reviews and viabWidespread use of face masks may reduce community transmission in two ways. First, through source control, since masks worn by persons who are infected and contagious can effectively reduce viral dissemination into the environment ,10. ThisWhile there is mechanistic support for the effectiveness of face masks from laboratory-based studies, evidence from real-life studies can confirm whether mask policies could have an impact on community transmission. The highest quality of scientific evidence on the real-life efficacy or effectiveness of an intervention is provided by randomised controlled trials. A number of randomised trials of face masks have been done to prevent transmission of respiratory virus infections. For example, the 2019 WHO guidance on non-pharmaceutical interventions cited evidence from 14 randomised controlled trials that did not support a statistically significant effect on transmission of laboratory-confirmed influenza . HoweverEurosurveillance, Brainard et al. reviewed 12 randomised trials and 21 observational studies of the effectiveness of face mask use against respiratory virus transmission [In this issue of smission . The metsmission -21 and psmission -37, namesmission . While rIt should be noted that widespread use of face masks in an epidemic will have greater community benefit through reducing contagiousness of infected persons in addition to protecting susceptible wearers. One recent study from Germany reports a 45% reduction in transmission through face mask use , althougWhile most face mask trials have aimed to prevent influenza virus or any respiratory virus transmission, the Danish Study to Assess Face Masks for the Protection Against COVID-19 Infection (DANMASK-19) trial has just reported on the efficacy of masks to prevent COVID-19 transmission . In thisIn comparison to randomised trials, observational studies provide relatively less reliable information on the effects of interventions, particularly for an intervention such as face masks that are often combined with other protective measures or changes in behaviours. A recent meta-analysis of observational studies found that face mask use by those exposed to infected individuals in non-healthcare observational settings was associated with a 44% risk reduction of infection with severe acute respiratory syndrome coronavirus (SARS-CoV) in 2003 . HoweverThere are clear evidential gaps in the science of modes of COVID-19 transmission. Nevertheless, there is compelling evidence that masks can contribute to the control of COVID-19. Given that face masks are inexpensive in comparison to the other public health measures being used to control COVID-19, even a limited effect on transmission would justify their widespread use. In addition to recommending that people wear face masks in poorly ventilated, crowded settings or when community prevalence is high, some health authorities might even consider to recommend the practice in all settings when in company. The only caveat relates to potential diversion of scarce supplies for healthcare settings, in which case alternative forms of facial coverings that are made of appropriate materials should be considered ["}
+{"text": "MFsim is an open Java all-in-one rich-client computing environment for mesoscopic simulation with Jdpd as its default simulation kernel for Molecular Fragment (Dissipative Particle) Dynamics. The new environment comprises the complete preparation-simulation\u2013evaluation triad of a mesoscopic simulation task and especially enables biomolecular simulation tasks with peptides and proteins. Productive highlights are a SPICES molecular structure editor, a PDB-to-SPICES parser for particle-based peptide/protein representations, a support of polymer definitions, a compartment editor for complex simulation box start configurations, interactive and flexible simulation box views including analytics, simulation movie generation or animated diagrams. As an open project, MFsim allows for customized extensions for different fields of research. A molecular simulation workflow comprises three successive steps: The definition of a simulation job with all necessary input information (preparation step), the approximate numerical integration of the equations of motion and the analysis of the simulation record with all calculated results . A computational all-in-one rich-client environment aims at supporting this triad in a unified and comprehensive manner to allow for productive applicability with minimum effort, minimized training periods and usability without programming skills. An additional goal is the prevention of common problems like inadequate or ill-defined parameter settings by extensively safeguarding simulation job definitions and operations. In general, these desirable features require a highly integrated monolithic architecture: Its pre-defined optimized workflows are comfortable and fast but inflexible in comparison with scripting or pipelining-workflow approaches. For the latter the implementation of a new feature may be achieved within minutes whereas its rich-client realization may involve days and weeks of complex software development. Thus, the different approaches have their intrinsic strengths and weaknesses.Particle-based mesoscopic simulation investigates supramolecular phenomena at the nanometer length and microsecond time scale for large interacting physical ensembles representing millions of atoms. Dissipative Particle Dynamics (DPD) is a mesoscopic simulation technique for isothermal complex fluids and soft matter systems which satisfies Galilean invariance and isotropy, conserves mass and momentum and achieves a rigorous sampling of the canonical NVT ensemble due to soft particle pair potentials that diminish molecular entanglements or caging effects. DPD is expected to show correct hydrodynamic behavior and to obey the Navier\u2013Stokes equations. DPD particle trajectories are guided by Newton\u2019s equation of motion where the total force on a particle exerted by other particles consists of a conservative, a dissipative and a random part. The opposing dissipative and random forces depend on each other and act as a thermostat conserving the total momentum and introducing Brownian motion into the system. The conservative forces comprise soft DPD particle repulsions as well as possible harmonic springs between bonded and electrostatic interactions between charged particles \u20135. DPD pThe new MFsim project provides (to our knowledge) the first open Java all-in-one rich-client mesoscopic simulation environment and complements the few available commercial systems , 14 withUsage of MFsim does not require programming skills and supports the complete preparation-simulation\u2013evaluation triad of a mesoscopic simulation task. It comprises features like a SPICES line notation , 26 basegui packages control, dialog and main). The controllers communicate with a layer of Molecular Fragment Cheminformatics (MFC) models that provide all core functions where the MFC layer itself controls the particle simulation kernel (Jdpd as a default).The object-oriented Java architecture see Fig.\u00a0 follows Design, job Execution and job Results evaluation that operate on a defined workspace directory of the file system and a JobResults folder (with subfolders corresponding to Job Result instances). During job execution a temporary directory is used for file storage which may be located on an fast hardware/memory device for maximum performance. All specific GUI functions are provided by successive levels of modal dialogs that can be opened above the basic GUI frame.The basic GUI frame is organized by three management tabs for simulation job see Fig.\u00a0: This woHelp/MFsim log/Browse of the basic GUI frame.MFsim automatically logs internal problems to support the detection of possibly subtle errors which are likely to occur in complex architectures with hundred thousands of code lines. The log file entries may be viewed via menu entry Details about internal data objects, preferences and convenient re-usable settings are comprised in Appendix Parallel computing provides options for fine-tuning of concurrent operations. As an example the number of parallel calculation threads for force calculations of the (default Jdpd) particle simulation engine may be specified in combination with the number of concurrent jobs in simulation to achieve an adequate workload of an octa-core processor with 2 concurrent simulations and 4 force calculation threads each\u2014whereas for a maximum single-job performance the number of force calculation threads could be increased to 8 with the number of parallel simulations decreased to 1. Additional parallel computing options address the number of concurrent particle position writers for output file creation, the minimum number of simulation box cells and particle\u2013particle bonds for parallelization and the number of concurrent graphical simulation box slice and diagram generators (abbreviated slicers \u2013 their number should at best correspond to the number of available processor threads including Hyper-Threading).MFsim supports concurrent calculations to exploit the capabilities of multi-core processors for performance improvements that linearly scale with the number of available processor cores . To arrive at an overall optimum balance the global preference section SpicesPool of package model.particleStructure) and PDB file related protein definitions (class PdbToDpdPool of package model.peptide) are kept in memory to speed-up chemical structure related operations by avoidance of expensive reevaluations during calculations. The size of the SPICES and protein cache may be inspected via menu entry Application/Cache/Show of the basic GUI frame. In-memory caching also improves the performance of simulation box slice image related operations: Preference/Simulation box/Slicer graphics/Image storage in the global preferences dialog may be used to activate the Memory uncompressed\u00a0(fastest) or compressed image cache, otherwise slice images are stored as image files which is comparably slow.Another performance related feature is global caching: SPICES line notations and supports the automated update of a Job Input definition for a new particle set.Since there is no unique particle set for mesoscopic simulation, a specific field of research requires a specific particle set\u2014a situation that is similar to Molecular Mechanics/Dynamics with different force fields and specific atom types. All mandatory particle information and particle\u2013particle interactions must be provided by a particle set text file where particle definitions are to be described in mandatory section data in with resLast but not least\u2014as an open project itself, MFsim uses several other open libraries: Apache Commons IO /Lang 3 /RNG 3535, BioJaThe MFsim simulation system aims at supporting the complete preparation-simulation\u2013evaluation triad in form of an integrated all-in-one workflow which is sketched step-by-step in the following paragraphs.Design tab of the basic GUI frame manages all Job Input related operations. It comprises an optionally filtered list of all available Job Input definitions of the specified workspace where a single Job Input definition may be viewed, edited, re-used (as a start for a new definition), removed, imported from an archive file or itself archived to a file (e.g. for exchange purposes). For a new Job Input definition, a corresponding modal dialog is opened above the basic GUI frame.The simulation Job Input definition is already a complete and valid simulation job definition with a single particle type (the water particle). The Job Input features have to be defined in a top-down manner where a change in a higher-level feature leads to an immediate update of subordinate features in an adequate manner\u2014e.g. a change in the number of particles via the Quantity feature automatically changes the subordinate Box size feature to be consistent with the new higher-level Quantity settings according to the even higher DPD density setting. These successive top-down updates whereas an activated Error tab signals a severe problem which has to be resolved . Since the list of Job Input features should exploit the range of capabilities of the underlying particle simulation kernel the current MFsim Job Input feature set especially addresses the default Jdpd simulation kernel . For other particle simulation kernels the feature set would have to be customized accordingly that is afterwards converted to a SPICES line notation in the structure editor . A pH value may be set with the modal pH dialog to charge corresponding particles. The modal Property dialog offers a number of settings for the amino acids of all chains: Protein backbone particles may be replaced by probe particles with identical physical properties but different labels for e.g. selective display of specific amino acids of a chain. In addition, a status and a segment may be defined for each amino acid backbone particle which can be used for intra-protein force assignments in order to achieve specific control concerning the flexibility or stiffness of the protein backbone . The complete protein information is encapsulated in a PdbToDpd object (package model.peptide) which is globally stored in the protein cache for inexpensive reuse in protein related calculations. A PdbToDpd object also comprises an automated mapping of the 3D protein structure to the relative positions of its DPD backbone particles which supports realistic 3D protein start geometries in the simulation box.For biomolecular simulations MFsim provides a PDB-to-SPICES parser which is available via the see Fig.\u00a0. An openMonomer definition) and the SPICES structure editor (feature Molecule definition) for polymer construction from monomers.The SPICES related polymer construction exploits the syntax characteristics of the SPICES definition and is rSimulation box subsection of the Chemical system description . The generated default molecular simulation box configuration consists of randomly-oriented spatial SPICES 3D tubes . The editor also supports a correct a priori DPD density of particles inside a compartment (which may be arbitrarily changed).The ribed in ) at randMovement sub-subsection of the Simulation box subsection address molecule movement control capabilities of the Jdpd simulation kernel: Molecules may be spatially fixed (Molecule fixation) or their movement restricted to virtual cages surrounded by \u201creflective walls\u201d within the simulation box (Molecule boundary). On the other hand, molecules may possess a fixed velocity (Molecule fixed velocity) or may be kicked with a specified frequency (Molecule acceleration).The settings of the final Property calculation subsection of the Chemical system description offers several calculation options during simulations like particle-pair radial distribution functions (RDF) and distances, particle-based molecular radii of gyration or a detailed particle/molecule nearest-neighbor analysis to monitor changing particle/molecule vicinities with temporal evolution of the simulated ensemble.The final Interaction description as the third main Job Input section addresses the fundamental physics of the DPD particle\u2013particle interactions like the Temperature setting, Random DPD force magnitude, electrostatic interactions of charged particles, gravitational acceleration or the characteristics of bonds between particles and their neighbor particles within molecules. Since mesoscopic DPD simulations are based on isotropic particle\u2013particle repulsions (editable via feature Particle interactions with the default repulsion parameters taken from the selected particle set) it may be necessary to impose preferential molecular conformations, e.g. to stabilize the 3D backbone structure of proteins by adequate spring forces between backbone particles to prevent a structural collapse. Thus, additional particle\u2013particle spring forces may be specifically defined between indexed particles in SPICES line notations (Molecule backbone forces), the amino acid backbone particles of peptides and proteins (Protein backbone forces) and the backbone particles of peptides and proteins within assigned chain segments (Protein distance forces).Simulation description section completes the Job Input settings with definitions for control of the simulation itself. The number of Simulation steps defines the temporal physical period to be simulated by integration of the equations of motion with a defined Time step length and a specific Integration type. Output frequency controls the intermediate output (e.g. the creation of particle position files for specific simulation steps) for later evaluation of the simulation record. Initial minimization steps may be defined to improve the initial simulation box start configuration with Minimization step output as a control setting for later inspection. Remaining definitions address Periodic boundaries along the box axes, the use of a DPD unit mass, possible Initial velocity scaling steps for temperature control and the choice of the Random number generator for the random DPD force.The final main Apply button of the modal Job Input dialog) with an automated addition to the list of available Job Input definitions of the current workspace.A completely defined job may be finally saved (Execution tab of the basic GUI frame manages the simulation of defined (error-free) Job Input definitions and a restart of already simulated Job Result instances : After addition to the Job Execution Queue jobs may be executed in parallel according to the global settings defined in Preferences/Parallel computing. For job execution MFsim must convert a Job Input definition to a Jdpd command file with corresponding particle position files . Job execution is always performed in background so it does not interfere with the concurrent usage of any other MFsim function . For every job in simulation its progress in percent and the estimated remaining simulation period is displayed and constantly updated. The Job Execution Queue may be altered in an arbitrary manner after execution start where a job in simulation cannot be immediately killed but only stopped with a delay to guarantee a valid Job Result. All Job Result evaluation functions are also available for jobs in execution which allows for a detailed inspection and analysis of simulation progress.The Job Result restart feature offers the possibility of successive simulation pipelines since underlying Job Input definitions may be changed before a restart. As an example, a possible molecule fixation or caging defined in the Movement sub-subsection (see above) could be removed before a restart of an initial relaxation simulation to allow for new modes of interaction between the molecular species. Changes of the molecular composition or the spatial configuration are not possible since they would affect the overall physical state of a simulation.The Results tab of the basic GUI frame comprises a list of all Job Result instances of the current workspace where a Job Result may be viewed, removed, imported from or exported to an archive file.The View of a Job Result opens a modal dialog that consists of a feature tree which offers substantial simulation related evaluations to allow for a combined display. If specific property calculations throughout the simulation were defined in the Property calculation subsection of the underlying Job Input definition the corresponding result evaluations appear as additional sections in the Job Result feature tree, e.g. the Nearest neighbor section in Fig.\u00a0Distribution movie section simulation box views of all (output) steps of the simulation process including the a priori minimization steps (if defined in the Job Input definition) and the generation of simulation movies for defined simulation periods uses the graphical Jmol capabilities designed for atom-based molecule representations to display particle structures whereas the Simulation box slicer generates successive slice images of the simulation box using Java2D. Moreover, the Simulation box slicer provides extensive box analysis features like through-space measurements, particle selections or the definition of zoom volumes with a corresponding particle/molecule frequency analysis may be used to contribute to the movie generation in an additive manner: A simulation movie may start with a spinning box, then show the minimization steps, again stop with a spinning box after minimization, exclude specific particles/molecules, zoom-in, then show a defined part of the simulation process within the zoomed box volume etc. All slicer functions produce sequences of images which may finally be merged into a MP4 movie clip with the open FFmpeg software (automated integration of FFmpeg is currently only available for the Windows OS).Job Input section just shows all features of the underlying Job Input definition.Last but not least the final The new MFsim environment may be beneficial for different fields of research. Theoretical physicists and chemists that contribute to the foundations of mesoscopic simulation with new methods/models/applications or improved/extended particle parameter sets may choose the open environment for an exemplification of their work so that their new insights and developments can be more easily adapted and utilized by a wider scientific community where especially scientific end-user communities appreciate availability within a rich-client system.Chemo- and bioinformaticians may likewise be interested in the extended possibilities to popularize their new and improved algorithmic solutions by offering a versatile usage in a convenient environment with only comparatively small additional development efforts.Simulation of a DMPC bilayer membrane model [Cyclotide-membrane sandwich interaction model [2020 Cyclotide-membrane interaction study) which demonstrate an especially attractive feature for visual communication of research findings .As an open all-in-one rich-client system with (modest) hardware requirements that are commonly available in scientific institutions, MFsim especially targets scientific end-users without programming skills. Presumed, a theoretically sound simulation model is available, specific alterations and extensions can be performed by end-users themselves. Tutorials ne model , 49 and on model , 51 illuIn summary, MFsim may broaden the applicability of mesoscopic approaches and stimulate the collaboration between the different disciplines from theory over computing to end-user application.With the MFsim project an open simulation environment for mesoscopic simulation is provided with the default Jdpd simulation kernel for Dissipative Particle Dynamics. MFsim supports polymer and especially biomolecular simulations containing peptides and proteins aiming at pushing the mesoscopic simulation frontiers towards these areas of research which often require the study of large systems on the microsecond scale. As an open rich-client all-in-one approach MFsim targets theoretical, computational as well as end-user scientists (without programming skills) thus it contributes to making computational tools more widespread in the scientific community. For the chemo- or bioinformatician the project may serve as a starting point for specific customizations where the reusable functionality may outweigh the initial training hurdle.MFsim is publicly available as open source published under the GNU General Public License version 3 . The MFs"}
+{"text": "The spatial and temporal regulation of gene expression in neurons is an important step in creating functional and structural neuronal networks. The complexity of neurons require differential expression of various proteins in different compartments. Highly polarised cells, such as neurons, respond rapidly to different external stimuli by changing their local protein abundance and composition. Neurons can have extensions up to a meter away from their cell body in humans, so it is easy to envisage why they need to manage the synthesis of new proteins locally and on-demand. Recent research has demonstrated that neurons can control the expression of different proteins by localising translationally silent mRNAs, followed by subsequent translation. Neurons use mRNA localization and local translation to achieve different purposes during their life cycle. While developing neurons rely on mRNA localization for axon guidance and synaptogenesis, mature neurons can use mRNA localization for maintenance of essential physiological processes. mRNA localization also plays a role in response to neuron injury to regenerate and restore neuronal connections. Recent microscopic imaging techniques such as live imaging of fluorescently tagged molecules combined with genetic and biochemical studies in neurons have illustrated evolutionarily conserved mechanisms for targeting mRNAs into their correct compartments. This review provides an overview of mRNA localization and local translation in vertebrate and invertebrate neurons and discusses the mechanism by which mRNAs are trafficked into axons. Furthermore, the role of mRNA localization in synaptic activation, as well as axonal injury is explored. The positioning of proteins to different regions of the neuron can determine their function. The common depiction in the central dogma of molecular biology that mRNAs are simply transcript molecules for transferring nuclear information in the DNA to the protein synthesis machinery in the cytoplasm has changed. Local control over the expression of genes can be achieved by trafficking mRNA molecules to different subcellular compartments, where they are translated to their protein products. Thus, mRNAs can have active roles in regulating protein expression through their subcellular localization and local translation. However, mRNA trafficking and protein trafficking are not mutually exclusive mechanisms for subcellular localization of cargoes in the cytoplasm. mRNA localization can work in parallel to the protein sorting machinery, ensuring efficient targeting of proteins to their site of action.Styela plicata about four decades ago. In situ hybridization using a DNA probe showed that actin mRNA was asymmetrically distributed in different regions of the cytoplasm of the ascidian embryo, with the highest concentration in the myoplasm and the lowest concentration in the endoplasm Saccharomyces cerevisiae, migrating fibroblasts, Caenorhabditis elegans, Drosophila melanogaster, Xenopus laevis, epithelial cells, neuroblasts, and nerve cells can localize mRNAs The first evidence for asymmetric mRNA localization in the cytoplasm was found in an ascidian, 2.Data from deep sequencing and high-resolution imaging of rat hippocampal neurons led to the conclusion that approximately half of neuronally expressed mRNAs are enriched in dendrites compared to the soma Calcium/calmodulin-dependent kinase-2\u03b1 (CamKII\u03b1) co-localizes in vivo with the RNA localization factor Staufen in dendrites of hippocampal neurons upon depolarisation with potassium chloride (KCl), and the RNA has a stronger enrichment in dendrites upon neuronal stimulation \u03b2-actin mRNA and its associated proteins can localize in dendritic spines upon neuronal stimulation. Live imaging of a GFP-tagged version of the \u03b2-actin mRNA binding protein ZBP1 showed that proteins redistributed from the cell bodies to the base and spines of dendrites of hippocampal neurons upon depolarisation with KCl ZBP1 was abolished after treatment of neurons with antagonists of NMDA receptors \u03b2-actin mRNA granules in dendrites Localization of mRNA and subsequent translation can be regulated by neuronal activity . CalciumCamKII\u03b1 granules can be explained by a study that showed cytoplasmic polyadenylation element binding protein (CPEB) interacts with CamKII\u03b1 3\u2032 UTR and can be co-immunoprecipitated with both Dynein and Kinesin-1 Bidirectional movement of mRNAs in both anterograde and retrograde can occur in dendrites by simultaneous association of mRNAs with both Dynein and Kinesin. Bidirectional transport of DrosophilaDrosophilaARC mRNA molecules have been observed at the base of dendritic spines Molecular motors play a significant role in active localization of mRNAs. The RNA binding protein (RBP) fragile X mental retardation protein (FMRP), which is present in ribonucleoprotein particle (RNP) granules 3.Coupled with local translation, mRNA localization can provide several advantages compared to protein trafficking. Asymmetric distribution of mRNAs in the cytoplasm can provide neurons with both temporal and spatial resolution over the expression of proteins in different regions of cytoplasm, as translation of pre-localized messages can be triggered on demand. The ability to rapidly respond to different stimuli and regulate the expression level of the corresponding proteins can be crucial in highly polarised cells, such as neurons. Another potential advantage of targeting proteins by prelocalizing their RNAs is that proteins that are newly synthesized from localized mRNAs can have different functions compared to the existing repertoire of proteins in the cell, due to differences in their post-translational modifications (PTMs) UTR) of mRNAs does not require any changes in the coding sequence of transcripts In addition, direct transportation of some proteins, especially those that have a high binding affinity to cytoskeletal elements and other cytoplasmic factors, can pose logistically challenging for cells. In such cases, cells can take advantage of localizing translationally silenced mRNAs to their target sites, followed by triggering of translation at the destination. For example, Map2 and Tau proteins bind to microtubules and cannot readily be trafficked to the distal regions of the neurons; therefore, they are localized as precursor mRNAs to dendrites and axons, respectively before they are translated 4.in vitro and in vivo demonstrated that ribosomes were present in mammalian axons in vivoFormation of a functional neuronal network requires precise positioning of axons in the CNS. Early studies failed to identify ribosomes in mature vertebrates' axons, leading to a notion that all axons do not have the capacity for local translation, and thus shifting the focus to dendritic mRNA trafficking Xenopus retinal ganglion cells axons demonstrated that receptor-ribosome coupling is used by guidance cues where guidance cues can induce dissociation of ribosomes followed by specific mRNA translation A study by Tcherkezian et al. Lymnea stagnalis) do not have conventional RER and Golgi, injection of exogenous mRNAs into axons isolated from the soma resulted in the translation of fully functional transmembrane proteins For many years it was unclear whether vertebrate axons have the machinery to fold and process the locally synthesised proteins as various electron microscopy attempts failed to identify rough endoplasmic reticulum (RER) and the Golgi apparatus in axons It is still unknown whether newly synthesized proteins in axons require specific post-translation modification compared to the proteins present in the soma, which might be achieved by the presence of RER and Golgi with a special function.In vitro data from cultured neurons have shown that isolated axons require axonal protein synthesis and degradation to respond to chemotropic factors or to regenerate after an induced injury (axon-severing) Extrinsic signals can affect growth, pathfinding, and synaptogenesis of developing axons . Mature Xenopus retinal axon pathfinding Navigating axons can also grow in the absence of soma. The removal of the cell body did not affect in situ hybridization (FISH) showed that more than 300 mRNAs encoding various components of the translational machinery, cargo transportation, cytoskeleton and mitochondria are enriched in axons of the CNS and peripheral nervous system (PNS) of mammalian neurons Microarray analysis combined with fluorescent \u03b2-actin and translation induction, thereby promoting growth cone turning Axonal branching in the vertebrate CNS is linked closely to local protein synthesis. Guidance cues such as Netrin-1, BDNF, Sema3A, and Slit2 trigger local protein synthesis in the responsive neuron Xenopus in vivo, and move to the distal tip of stable branches \u03b2-actin translation disrupted branch formation, thereby demonstrating the importance of mRNA localization and local protein synthesis in arbour formation and stabilisation In cultured dorsal root ganglion (DRG) neurons, mRNAs encoding the components of the actin-nucleating Arp2/3 complex are localized to branch points and promote branch formation in response to nerve growth factor (NGF) Deep sequencing of ribosome-bound mRNAs showed that many presynaptic proteins are translated locally in mouse retinal axons during branch formation \u03b2-actin, growth-associated protein 43 (GAP43) and neuritin/cpg15 mRNAs in motor neurons Defective assembly of RNPs has been implicated in the pathogenesis of neurological diseases that affect axons such as amyotrophic lateral sclerosis (ALS) and spinal muscular atrophy (SMA) 5.in vitro studies of cultured neurons have provided very useful information on mRNA localisation and local translation, we still do not have a clear understanding of the detailed molecular mechanisms underlying axonal mRNA localisation. This is particularly the case in vivo, where neurons are present in their physiological environment. Further studies are required to decipher the role of neuronal activity in mRNA localization during formation of neuronal network.Localization of mRNA and subsequent translation can provide intricate network of the neurons with a delicate control over gene expression in different compartments at different times. Various studies have demonstrated the functional importance of mRNA localization in axon and dendrites. While molecular mechanism of mRNA localization is conserved in neurons from invertebrates to vertebrates, the role of different factors and regulators in trafficking and translation of mRNAs remains to be discovered. Although"}
+{"text": "The SARS-CoV-2 pandemic represents one of the greatest infectious challenges to humanity in recent history. One of the striking features of infection is the heterogeneous clinical response with worse outcomes observed in older patients and those with underlying health conditions. To date the potential impact of previous infection history has been poorly\u00a0investigated as a potential determinant of risk. Cytomegalovirus (CMV), a persistent herpesvirus infection whose prevalence increases with age, is a major modulator of immune function and several observations suggest that infection might act to influence clinical outcome following SARS-CoV-2 infection. In particular, CMV is associated with the acceleration of immune senescence and has been linked to a range of cardiovascular and metabolic disorders. This review addresses mechanisms by which cytomegalovirus infection may act to worsen the clinical outcome of SARS-CoV-2 infection, discusses how these potential links could be investigated, and assesses the potential significance of any findings that emerge. The SARS-CoV-2 pandemic, which is believed to have originated in Wuhan in 2019, has already led to the deaths of over 340,000 people, a number that is rising steadily at this time [The herpesvirus family is one of the best characterized and largest group of persistent viral infections . These eCytomegalovirus is one of the most common persistent infections within the human population and it is likely that over 4 billion people are infected at the current time . InfectiOne of the characteristic and unique features of cytomegalovirus infection is its influence on the immune response. The virus acts as a hugely important influence on the maturation and long term composition of the immune repertoire , 10. ThiWikby and colleagues first identified CMV as component of the \u2018immune risk phenotype\u2019 associated with increased mortality in elderly individuals in 2002 . This seSomewhat surprisingly, CMV seropositive status has actually being shown to boost vaccine responses in younger people and thisAs such, the profound correlation between risk of mortality from SARS-CoV-2 infection and increasing age might be explained partly by the negative impact of CMV on immune function in older people\u00a0Fig. . This efA characteristic feature of COVID-19 has been the significantly increased risk of mortality in patients with established cardiovascular disorders . This inThese immunological findings underlie epidemiological studies which show a clear association between CMV serostatus and vascular disorders. This was noted in early studies within US populations , 30 and These observations suggest that the intimate relationship between CMV infection and the vascular system may also act as a potential mechanism to enhance pathophysiological consequences of SARS infection.Finally, a somewhat surprising observation from the SARS-CoV-2 pandemic has been the significant increased clinical risk for patients with diabetes mellitus . DysreguNot surprisingly, research into SARS-CoV-2 infection is currently the major priority for science communities worldwide. If persistent infection with viruses such as CMV do indeed impact on clinical outcome it will be important to consider what steps may be needed to investigate this.-The first, and most definitive assessment, would be to determine the relative clinical outcome from SARS-CoV-2 infection in matched populations assessed by CMV serostatus. Such analysis would be straightforward and inexpensive and the only limitation is access to adequate numbers of serum samples from well-characterised clinical cohorts. These are now becoming available in many settings.-Notwithstanding the outcome of this primary analysis, it would also be of interest to look at the titre of CMV-specific antibodies within CMV seropositive patients. It has been observed in many studies that patients with high titres of antibody display a range of impaired clinical outcomes although it is not clear if this is a \u2018cause or effect\u2019 in relation to secondary health conditions . Indeed,-If such serological studies do suggest an association between CMV infection and Covid-19 outcome then further analysis should be undertaken to assess how cytomegalovirus may act to modify SARS-CoV-2 viral load after infection or modulate the magnitude or functional profile of the SARS-CoV-2-specific immune response. In parallel, it will also be of interest to assess whether CMV reactivation is observed in patients with Covid-19. Indeed, other viruses may also be at play and some of the features of severe infection resemble hemophagocytic syndrome, itself commonly triggered by the herpesvirus Epstein-Barr Virus.If laboratory studies do confirm an interaction between CMV serostatus and the clinical outcome of Covid-19 infection it is important to reflect on how this might be utilised to modify the severity of the current pandemic. CMV-specific drugs could be used to suppress viral load if this were indeed elevated in severely ill patients. However, these would not reverse the immunomodulatory effects of CMV infection over the short term. CMV-specific memory cells have a half-life of many months and antiHomo sapiens is much greater than simply eukaryotic cells. The microbiome has taken centre stage in recent years and is certainly an important determinant of human health. The virome has received somewhat less attention although its impact may be no less considerable. At a time of global challenge from a new emerging virus it is timely to think how this may be modulated by carriage of an ancient and highly complex virus that has taken many millions of years to adapt to co-existence with primates. The control of SARS-CoV-2 infection cannot wait that long.It is now clearly established that the complexity of SARS-CoV-2 infection is associated with much higher rates of mortality in older people and those with coexisting health disorders. The underlying basis for this is not certain.Cytomegalovirus is a common and persistent herpesvirus infection and the proportion of people that are infected increases with age.Older people who are infected with cytomegalovirus have been shown to display accelerated immune senescence and increased death rates from vascular disease.Cytomegalovirus may act as a negative risk factor for clinical outcome following SARS-CoV-2 infection and this could be of importance in relation to clinical management and optimisation of epidemiological control strategy."}
+{"text": "We report on a case of an asymptomatic splenic artery aneurysm (SAA) with a large neck in a 53-year-old female with an extreme vessel tortuosity which was treated with a Double Microcatheter Technique. This endovascular procedure consists of embolization of the aneurysm using detachable coils with no application of any glue, stent or balloon.At the end of procedure, no complications occurred. At the three-month follow-up an MRI showed the aneurysm\u2019s complete exclusion and patency of the splenic artery. Splenic artery aneurysms (SAAs) are the third most frequent aneurysms in the abdomen after aneurysms of the aorta and iliac arteries and are the most frequent visceral aneurysms with a reported prevalence of 0.8% on arteriography and 0.04\u20130.10% at autopsy Rupture remains the most feared complication with incidence ranging from 2.3% to 18% and a mortality rate ranging from 20 to 100% Size is the first indication for treatment of asymptomatic SAA considering that a diameter greater than 20 mm is related to a high risk of rupture In this report we present the case of a saccular SAA successfully treated with coil embolization using the double-microcatheter technique; a further endovascular approach in treating SAAs in patients with tortuous vessel anatomy.A 53-year-old mother of two children with a family history of lung carcinoma and affected with hypertension, dyslipidemia and sideropenic anemia, underwent a duplex scan to investigate a chronic biliary micro-lithiasis. The exam detected an abdominal lesion suspected of adrenal adenoma. The patient was submitted to a CT-scan that revealed a saccular aneurysm in the medium-distal part of the splenic artery which also presented an extremely tortuous course . Given tUnder local anesthesia a 7 Fr vascular sheath was positioned in the right common femoral artery. A 5-Fr Simmons 1 catheter (Glidecath) was advanced through the celiac artery on a standard guidewire and selective catheterization of the splenic artery was carried out.The following angiographic control confirmed the extreme tortuosity of the splenic artery and the saccular dilatation in its medium-distal part . The SimIt was decided to perform the double microcatheter technique to avoid coil migration and therefore 2 microcatheters were inserted through the guiding-catheter and positioned up to the proximal and distal part of the neck of the aneurysm, respectively. .Coil packing was performed using detachable coils, alternately released through the 2 microcatheters to obtain a safe and accurate placement. Four coils were used overall. The last angiogram showed complete aneurysm exclusion and patency of the splenic artery . The patAfter three months an MRI was given showing good coil positioning with complete exclusion of the aneurysm, total splenic artery patency and no evidence of splenic ischemic lesions or infarctions . The patVisceral artery aneurysms represent a rare entity but are a serious and potentially lethal condition when rupture occurs. Treatment options include standard surgery and endovascular embolization with either coils or glue or both or aneurysm exclusion with a covered stent.The surgical approach has shown excellent long-term results but is still burdened by higher rates of periprocedural morbidity and mortality, longer operative times and length of stay The endovascular treatment was initially reserved for high risk patients or in emergency conditions when rupture occurs but nowadays this approach is first choice in many centers due to technical success and lower mortality comparable with traditional open repair procedure. Furthermore, the endovascular technique is less invasive and associated with a shorter length of stay with a mean hospital stay of 3.8 vs 12 days The two most common endovascular techniques are transcatheter embolization and covered stenting. Transcatheter embolization is currently considered a first choice for saccular aneurysms The use of covered stenting for SAAs exclusion is widely consolidated offering the potential benefit of maintaining splenic perfusion and eliminating risk of rupture however it has been reported to not work 30% of the time as it requires a favorable anatomy for a correct positioning Recently the use of stent-assisted coil embolization or multilayer flow modulator stents has extended endovascular treatment to multiple types of complex aneurysms Failures may be related to technical difficulties in catheterizing the aneurysm neck resulting in intra-procedural dissection or rupture and may more frequently occur in treatment of larger aneurysms, a large neck size and flow turbulence which can lead to unstable coils and incomplete sac packing The extreme tortuosity of the splenic artery which was the main feature in our case led us to perform the SAAs exclusion using the double microcatheter technique which could be considered an evolution on the standard transcatheter embolization. This technique is widely used for wide-necked and irregular-shaped intracranial aneurysms A limit to this approach consists of the angiographic acquisitions which could be difficult through a 4Fr\u20135Fr guiding sheath because of the smaller internal space due to the use of microcatheters. To avoid this problem we used a 7Fr guiding sheath.A recent report We chose to follow up the patient with a contrast enhanced MRI because of its reported usefulness in post-treated intracranial aneurysms and pulmonary arteriovenous malformations. Kawai et al. reported that the advantages of MRI compared to contrast-enhanced and/or unenhanced CTs were: 1) less susceptibility to metallic artefacts from platinum coils, 2) detectability of dynamic blood flow at a high temporal resolution, and 3) no radiation exposure"}
+{"text": "This study investigated the fitting accuracy of titanium alloy fixed dental prostheses (FDP) after sequential CAD/CAM (Computer Aided Design/Computer Aided Manufacturing) fabrication. A three-unit FDP model connecting mandibular second premolars and molars was prepared and scanned to fabricate titanium FDPs by CAD/CAM milling. A total of six FDPs were sequentially milled in one titanium alloy disk using a new set of burs every time (n = 4). The fitting accuracy of FDPs was mesiodistally evaluated by a silicone replica technique and the measurement was triplicated at four different locations: MO , MG , AG , and OG . Data were statistically analyzed using ANOVA and Tukey\u2019s HSD test. The fitting accuracy of PMMA (polymethyl methacrylate) FDPs milled using the worn or new bur were evaluated by the same procedure (n = 6). The mean dimensions of titanium FDP for all measuring positions, except for AG, were significantly increased from the third milling. However, no difference was noted between the first FDP and the second FDP milled with the same set of burs. Severe edge chippings were observed in all milling burs. Detrimental effects of the worn burs on the fitting accuracy were demonstrated in the CAD/CAM-milled PMMA FDP. The results recommend proper changing frequency of cutting burs to achieve the quality of fit and predictable outcomes for dental CAD/CAM prostheses. Dental CAD/CAM (Computer Aided Design/Computer Aided Manufacturing) systems have become mainstream in the fabrication of most dental fixed prostheses, even for metal restorations that have conventionally been fabricated by casting with the lost-wax technique ,2,3. In The degree of marginal and internal accuracy of fixed dental prostheses (FDPs) is of great importance to evaluate the clinical performance of a newly developed fabrication system. Although the fit of metal restoration fabricated by conventional lost-wax casting is better than that of milled restoration, the marginal fit of titanium copings fabricated by the milling technique with CAD/CAM is currently comparable to that of the conventional casting technique with or without manual refinement ,6. LaserTitanium and titanium alloys have many advantages as fixed and removable prosthetic materials in terms of physical properties and corrosion resistance . HoweverThere have been concerns about the durability of milling tools (tungsten carbide burs) for dental CAD/CAM machines . HoweverA standardized three-unit posterior FDP model connecting mandibular second premolars and molars was manufactured with stainless steel cylinders. Two abutment teeth were circumferentially prepared with a 12\u00b0 total occlusal convergence and 0.8-mm chamfer margin using a 6\u00b0 tungsten carbide burs and lab milling machine . A central fossa with a 1-mm depth was prepared in the center of the occlusal surface to simulate occlusal form of natural teeth, and the sharp edges were intentionally beveled to reduce possible needs for internal refinement [\u03a698 \u00d7 12 mm, Doowon ID). A total of six three-unit FDPs were sequentially milled in one Titanium disk using a new set of milling burs to fabricate the bridges using Titanium alloy CAD/CAM disk blocks for CAD/CAM fabrication were milled with the new set or the used set of burs for six Ti FDPs. The marginal opening and gap dimensions of the PMMA FDPs fabricated using the worn or new bur were evaluated by the same procedure (n = 6). Scanning electron microscopy observations were conducted to examine the cutting surface of milling burs before and after use. The surface topographies of milled Ti FDPs were compared with SEM observations.The silicon replicas were examined at 125\u00d7 magnification using a metallurgical microscope and image analysis software . The dimensions at each of four gap locations were determined by averaging data from the left and right sides of the premolar and second molar. All measurements were performed in triplicate with new silicon replicas to compensate for the limited number of specimens in this study . To examp < 0.05.Data were statistically analyzed using the IBM SPSS Statistics program . The Levene test was used to test the homogeneity of variances between milling sequences for each measuring location. Mean data were compared by one-way ANOVA and a post hoc test (Tukey HSD) at the level of significance of The marginal opening and gap dimensions at four measuring points, according to the milling sequence, are presented with a box-and-whisker plot in The fitting accuracy of titanium three-unit fixed dental prostheses fabricated by a 5-axis dental CAD/CAM system was significantly affected by the milling sequence. The marginal opening and gap dimensions at all measuring positions, except for AG, severely deteriorate from the third milling with the same set of burs. No significant difference in the adaption accuracy of FDP was noted between the first and second millings. The overall results of this study rejected the null hypothesis, suggesting no significant differences in the fit accuracy of the three-unit FDP milled using the new or used burs. The declines in the internal fit accuracy of the titanium FDP during sequential milling could be attributed to damage or wear of the milling burs due to extended use over the limitation of the bur lifetime. The significant increase in the marginal opening and gap dimensions of the titanium FDP can be directly shown by the results of the PMMA three-unit temporary FDP between milled using as-received new burs and worn burs after the sixth milling of Ti prosthesis . The resThe detailed reproduction of the crown intaglio surface by milling can be affected by the smallest bur diameter among the set of cutting tools, which must be considered in abutment preparation ,24. FurtThe occlusal gap (OG) dimension was generally higher than those of the other measurement positions in most CAD/CAM-fabricated fixed dental prostheses as reported in this and other studies ,6,19. InThe results of this study recommend changing milling burs at a proper frequency to maintain the accuracy of fit for CAD/CAM fabrication of dental metal prostheses. Periodic changes in milling burs were required to achieve the quality of fit and predictable outcomes for dental CAD/CAM prostheses. Moreover, an improved durability of cutting edges in milling burs will reduce the fabrication costs for dental CAD/CAM prostheses with low machinable materials. A drill compensation program for bur wearing can be incorporated into dental CAD software to reduce the inaccuracy of dental prosthesis milling. The limitations of this study are that the fitting accuracy of sequential milling was evaluated with only one dental alloy and milling system. Further studies should evaluate the relation of the machinability of various dental alloys with the fitting accuracy for different dental CAD/CAM systems.Within the limitations of this study, the marginal opening and gap dimensions of CAD/CAM-fabricated titanium three-unit FDP were significantly affected by the milling sequence or the conditions of milling burs. The results of this study recommend changing milling burs at a proper frequency to achieve the quality of fit and predictable outcomes for dental CAD/CAM prostheses."}
+{"text": "A novel coronavirus disease COVID-19) was initially reported in December 2019 in China and was rapidly declared a pandemic by World Health Organization challenging healthcare systems at a global level. Many elective surgeries were postponed worldwide in an effort to minimize spread of disease as well as to conserve resources. With the ongoing need for emergency and elective colorectal cancer surgery several issues and concerns raise from this situation while management of those patients globally including Greece has changed [9 was iniBased on the Italian experience, within colorectal emergency surgery, only life-threatening emergencies should be treated , in order to spare crucial resources for the management of the pandemic and an open approach is recommended . Yu et aCOVID-19 pandemic is seriously affecting the structure of healthcare systems globally. Many interventions will be needed to deal with the new scenario after the crisis has been controlled. Colorectal cancer surgery is arguably life-threatening if not conducted within a \u201creasonable\u201d time-frame and there is an urgent need to re-group and rethink the way the surgical care is being offered in this subgroup of patients during the COVID-19 pandemic.The author declares no competing interests."}
+{"text": "Myelin is a dynamic membrane that is important for coordinating the fast propagation of action potentials along small or large caliber axons (0.1\u201310 \u03bcm) some of which extend the entire length of the spinal cord. Due to the heterogeneity of electrical and energy demands of the variable neuronal populations, the axo-myelinic and axo-glial interactions that regulate the biophysical properties of myelinated axons also vary in terms of molecular interactions at the membrane interfaces. An important topic of debate in neuroscience is how myelin is maintained and modified under neuronal control and how disruption of this control (due to disease or injury) can initiate and/or propagate neurodegeneration. One of the key molecular signaling cascades that have been investigated in the context of neural injury over the past two decades involves the myelin-associated inhibitory factors (MAIFs) that interact with Nogo receptor 1 (NgR1). Chief among the MAIF superfamily of molecules is a reticulon family protein, Nogo-A, that is established as a potent inhibitor of neurite sprouting and axon regeneration. However, an understated role for NgR1 is its ability to control axo-myelin interactions and Nogo-A specific ligand binding. These interactions may occur at axo-dendritic and axo-glial synapses regulating their functional and dynamic membrane domains. The current review provides a comprehensive analysis of how neuronal NgR1 can regulate myelin thickness and plasticity under normal and disease conditions. Specifically, we discuss how NgR1 plays an important role in regulating paranodal and juxtaparanodal domains through specific signal transduction cascades that are important for microdomain molecular architecture and action potential propagation. Potential therapeutics designed to target NgR1-dependent signaling during disease are being developed in animal models since interference with the involvement of the receptor may facilitate neurological recovery. Hence, the regulatory role played by NgR1 in the axo-myelinic interface is an important research field of clinical significance that requires comprehensive investigation. Central nervous system (CNS) myelination is a developmentally regulated process governed by key molecular events that integrate dynamic changes at axonal and oligodendroglial cell membranes. Myelination ensures efficient propagation of action potentials along axons. CNS myelin-forming oligodendrocytes initially contact axons that they subsequently may ensheath depending on their electrical activity or astroglial-derived chondroitin sulfate proteoglycans exhibit abnormal formation of CNS nodes, since Caspr regulates the binding of NF155 to contactin 1 through direct interaction and processing for its membrane localization close to and encroaching into the nodal gap mutant mice that although display normal myelination but exhibit disrupted paranodal septate-like junctions, resulting in reduced axonal conduction velocity (CV). Therefore, it is plausible that in the presence of axonal degeneration without prominent demyelination observed in some MS lesions , and their hind paws more externally rotated (wider absolute paw angles) than na\u00efve wild-type mice , a measure of how rapidly the animal decelerates during the braking phase. These observations need to be further investigated to elucidate the precise neurophysiological role/s of NgR1 in gait regulation, and further dissect how changes in axon and myelin properties observed in the ngr1\u2212/\u2212 mice can potentiate such neurobehavioral outcomes.Our gait analysis of na\u00efve wildtype and ype mice . These o\u2212/\u2212ngr1 mice shows an altered adhesion of paranodal myelin with the axolemma that corresponds with a preserved expression of Kv1.2 ion channels but distributed (or the diffusion of) contactin-related protein throughout the node and internode regions are reduced in both spinal cord dorsal white matter tracts and optic nerves of these mice , that the segregation of sodium and potassium channels that is necessary for the propagation of action potentials at nodes of Ranvier and axonopathy that can differentiate the role of NgR1 in myelin turnover during remyelination compared to the axonal degeneration occurring in MOG-induced models. Elucidating the precise coupling of NgR1-dependent neuronal activity with the molecular restructuring of the node of Ranvier and paranodal myelin is a critical line of investigation in neuroscience that will drive the development of future regenerative therapeutic interventions that target the Nogo-A/NgR1 cell signaling mechanism during neurodegenerative diseases governed by the sequelae of inflammation.How NgR1 regulates the distribution of Caspr in a tightly orchestrated paranodal interaction with its glial membrane proteins that are integral to the synchrony of axonal myelin physiology is an important question. Future research should involve investigations into CNS remyelination in adult The AMREP Animal Ethics Committee (AEC nos. E/1532/2015/M and E/1602/2015/M) reviewed and approved the use of these animals for experimentation in this study, in accordance with the guidelines and regulations set out by the National Health and Medical Research Council of Australia. All animal experiments are governed by the Australian Code for the care and use of animals for scientific purposes (2013) and comply with the Victorian Cruelty to Animals Act 1986. All frozen human deep-cortical white matter tissues used for this study were acquired from the Victorian Brain Bank Network (VBBN) under the National Health and Medical Research Council guidelines and the Monash University Human Research Ethics Committee approval number CF13/1646-2013000831.SP wrote the manuscript. PT, MK, MA and JL edited the manuscript and generated data.JL is currently employed by the company ToolGen Inc. The remaining authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Focal adhesion kinase (FAK) is a non-receptor tyrosine kinase with key roles in the regulation of cell adhesion migration, proliferation and survival. In cancer FAK is a major driver of invasion and metastasis and its upregulation is associated with poor patient prognosis. FAK is autoinhibited in the cytosol, but activated upon localisation into a protein complex, known as focal adhesion complex. This complex forms upon cell adhesion to the extracellular matrix (ECM) at the cytoplasmic side of the plasma membrane at sites of ECM attachment. FAK is anchored to the complex via multiple sites, including direct interactions with specific membrane lipids and connector proteins that attach focal adhesions to the actin cytoskeleton. In migrating cells, the contraction of actomyosin stress fibres attached to the focal adhesion complex apply a force to the complex, which is likely transmitted to the FAK protein, causing stretching of the FAK molecule. In this review we discuss the current knowledge of the FAK structure and how specific structural features are involved in the regulation of FAK signalling. We focus on two major regulatory mechanisms known to contribute to FAK activation, namely interactions with membrane lipids and stretching forces applied to FAK, and discuss how they might induce structural changes that facilitate FAK activation. Focal adhesion kinase (FAK) was discovered almost three decades ago as a kinase that is highly phosphorylated in response to cell adhesion and localisation into the focal adhesion complex ,2. Its iFAK is today recognised as a hub in the interactome of focal adhesions ,20,21, aSuper-resolution optical microscopy has defined a layered focal adhesion architecture with a signalling layer closest to the plasma membrane, a central force transduction layer and an actin regulatory layer, the site of actin attachment to the focal adhesion complex . In addiFAK contains an N-terminal FERM domain a central kinase domain followed by a 220-residue proline-rich low-complexity region and a C-terminal focal adhesion targeting (FAT) domain a. IndiviThe FERM domain (residues 33\u2013361) of FAK adopts a three lobed structure , with the three lobes arranged in a clover-leaf shaped assembly Figure b. The F1Crystallised FERM domains contain most of the linker residues following the FERM domain . This lThe FAK kinase domain adopts a typical two lobed fold seen in all protein kinases with the ATP binding site sandwiched between the two lobes c. Within712PKP) interacts with the SH3 domain of p130Cas [874PKKPP) with the SH3 domains of the small GTPase activating proteins GRAF and ASAP [The region C-terminal to the kinase (residues 686\u2013917) is proline rich and predicted to be unstructured. It contains two PxxP motives, site I FATIn addition to FERM-kinase rupture, there are additional features in the structure of FAK that are compatible with force induced structural changes. As mentioned in Another intriguing thought is how force might affect the structure and function of the FAT domain. As discussed in High resolution structures of FAK regions, including all portions predicted to adopt globular domains, have provided important insights into the architecture and function of FAK at atomic level. These structures have defined the mechanism of FAK autoinhibition in the cytosol and idenOn the other hand, studying the FAK structure in the context of the focal adhesion ultrastructure in cells by cryo-electron tomography will also entail major challenges. A past study has identified donut shaped structures in focal adhesions . However"}
+{"text": "Agrawal et al. characteUnfortunately, these important data are often greeted in the medical oncology or radiation therapy communities with a tacit acceptance that adverse health outcomes are part of the \u201ccost\u201d of a reliable cure of metastatic cancer and that most late effects occur \u201cout of sight and out of mind,\u201d often after care transition from the GCT care providers complicates awareness and interventions.Consider survivorship in GCTs as an inverted funnel where patients enter at the time of diagnosis with or without subsequent chemotherapy, extensive surgery, or radiation therapy. In the United States and Canada, approximately 11\u2009000 patients are diagnosed with GCTs annually. After a few years of either observation or definitive treatment, about 10\u2009500 of these patients will enter the large and expanding portion of the funnel where they will remain for the rest of their lives. An estimated quarter million survivors of testicular cancer and its management live in North America with a per-patient additional life-years added of 40\u201350\u2009years postdiagnosis\u2014not a small challenge by any means.Let\u2019s think about the large proportion of patients who are posttreatment, which is the same group addressed by the Agrawal study . CurrentLittle recent attention with respect to survivorship has been paid at the narrow end of the inverted funnel . The recent history of academic GCT oncology has not concentrated on delivering similar high cure rates with less chemotherapy, less radiation, or less imaging, all of which are fundamental drivers of short-term and late effects and patient bother. Current practice and clinical investigations have often been pointed to more toxic approaches; combined approaches; and exuberant, unnecessary imaging .Successful delivery of newly diagnosed patients to the other side of survivorship should entail meaningful reduction in the number of cycles of chemotherapy delivered, elimination of prophylactic and therapeutic radiation therapy, and a marked reduction in imaging. Two emerging themes in GCT clinical research oncology offer hope of achieving this goal: precision medicine and centralized and collaborative clinical decision support and triaging complex care to high-volume centers.The most exciting development in precision medicine in GCTs comes from two recent, large prospective studies with serial measurement of serum or plasma microRNA 371 . These sPrimary retroperitoneal lymph node dissection (RPLND) is somewhat limited in large part because of the insensitivity of current imaging and classic marker-based determination of relapse . Since the 1970s, primary RPLND alone in the common setting of small-volume, marker negative stage II nonseminoma is known to be remarkably effective without the need for adjuvant chemotherapy (relapse free rate of approximately 75%). Several centers in the United States and Europe are testing an identical approach in small-volume stage II seminoma with similar preliminary results seen when classic, open primary RPLND is applied .If clinical trials using miR371-guided and expert surgical management of early stage GCT demonstrate equivalent therapeutic outcome with reduction or elimination of the use of radiation-based, chemotherapy-based approaches and computed tomography\u2013based imaging, nearly 85% of patients presenting with any stage of GCT will enjoy those subsequent 40\u2009years with nearly zero risk of severe late effects of treatment or frequent imaging. These innovations along with increased focus directed at chemotherapy-sparing and imaging-sparing approaches will likely further reduce the number of GCT patients at risk for consequential late effects of treatment. No small victory by any means."}
+{"text": "Elastic \u201ctethers\u201d connect separating anaphase chromosomes in most animal cells. We tested whether tethers are involved in coordinating movements of separating anaphase chromosomes in crane-fly spermatocytes. In these cells the coupled movements of separating chromosomes become uncoupled after the tethers are severed by laser microbeam irradiation of the interzone region between the chromosomes . While t This article deals with possible functions of \u201ctethers,\u201d elastic connections between anaphase chromosomes. Tethers extend between the telomeres of all pairs of separating anaphase chromosomes in all (or most) animal cell spindles . One canTethers are universally present in animal cells, connecting all separating chromosome pairs . They alDo tethers coordinate the movements of separating anaphase chromosomes? Evidence that movements of separating chromosomes in crane-fly spermatocytes are coordinated derives from non-laser ultraviolet-light (UV) microbeam irradiations of individual kinetochore spindle fibres. Those studies used as UV source a high-pressure mercury-arc lamp that emits a broad spectrum of wavelengths restricted by a monochromator to a peak wavelength at a given setting . IrradiaWhen irradiation of one kinetochore fibre stopped the anaphase movement of the associated chromosome, the partner chromosome moving to the opposite pole also stopped moving ; the othcan use visible-light laser irradiations to test the possible role of tethers. That phenomenon is the continued movements of anaphase chromosomes after their kinetochore microtubules are severed. In crane-fly spermatocytes, anaphase chromosome movement is not altered when kinetochore fibre microtubules are severed by visible-light laser irradiations reared in the laboratory using methods described elsewhere files; the resultant bmp images were converted to avi files using VirtualDub2 freeware. Graphs of distance versus time were obtained from the avi files using an in-house program that mean = 8 and each spermatocyte has three bivalent and two univalent chromosomes. At anaphase the bivalents disjoin and move to the stationary poles but the univalent sex-chromosomes (X and Y) remain at the equator for between 20 and 100 s, and then returned to a slower speed, comparable to the starting speed, as illustrated graphically in After cutting kinetochore fibres the acceleration period lasted on average \u223c41 s before the chromosomes slowed down to near their original speeds . The aveA main conclusion from our experiments is that tethers coordinate the movements of separating anaphase chromosomes in crane-fly spermatocytes. Anaphase chromosomes with normal tethers do not speed up when their kinetochore spindle fibres are severed but chromosomes with cut tethers do . To exclHow might tethers coordinate the separating chromosomes? One possibility is that the tension on chromosome arms [stretching them by about 10% ] is tranAnother possibility is that tensegral interactions might influence the movements of chromosome partners. Tensegrity involves stabilised interactions between networks of tension-producing components and networks of load-bearing components (struts). Tensegrity has been considered a major foundation of the structure of living cells: many changes in cell function and structure, both overall and local, including position-specific mechanical-transduction, can be explained assuming that cell structure is based on tensegrity, i.e., that cells contain an interacting system of tensile elements and struts , 2003a,bDo our experiments unequivocally prove that tethers coordinate chromosome movements or could there be alternate interpretations of our data? Our irradiations unavoidably included spindle regions immediately adjacent to chromosome arms so we cannot rule out the possibility that other spindle components were damaged by the laser. However, any alternative interpretation must satisfy several conditions. One is that the component responsible for coordinating the movements must be in the interzone, between the arms of separating chromosome: this is because chromosome movements become uncoupled when that region is cut with the laser . A seconChromosomes accelerate after first tethers and then kinetochore fibres are severed ; later tOenothera meiosis are a series of reciprocal translocations in the absence of kinetochore microtubules disrupts the coordination between separating chromosomes in crane-fly spermatocytes. These data strongly argue that regulation of the speeds of separating anaphase chromosomes in crane-fly spermatocytes is due to the tethers that connect them.The datasets generated for this study are available on request to the corresponding author.AF did most of the experimentation, which took place in the laboratory of MB. Both authors contributed to writing the final manuscript.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Research has suggested that growth in Black and Hispanic older adults\u2019 nursing home (NH) use may be the result of disparities in options for long-term services and supports (LTSS). To investigate this issue, we aimed to determine whether there were no differences in the functional needs of racial and ethnic groups who received care in NHs versus the community. We identified respondents aged \u226565 years in the 2016 Health and Retirement Study who reported requiring caregiving help. We compared the site of care for Black and Hispanic older adults (minority group) to White older adults (comparison group). We performed unadjusted analyses to assess the association of functional need with community vs. NH care. Functional need was operationalized using a functional-limitations score and six individual activities of daily living (ADL). There were 186 minority older adults and 357 White older adults . Across settings, minority older adults did not differ in age, marital status, and income, but a greater percentage of men were in NHs . The functional-limitations score was higher in NHs than in the community for both groups. Functional needs for the minority group were similar across the two settings in 2/6 ADLs , while White older adults in NHs were more impaired in all ADLs. Functional need for minority older adults primarily differed by setting while demographics did not. These are important factors to consider when implementing programs to keep older adults out of NHs and in the community."}
+{"text": "Polio has become the major vaccine-preventable disease that has received the much-needed support for its complete eradication following the eradication of smallpox. Currently, the incidence of the disease has been reduced by 99% owing to the intensive efforts of the Global Polio Eradication Initiative (GPEI), which was instituted in 1988 to achieve complete eradication which isThe value of Qualitative Evidence Synthesis (QES) methodology in improving complex health interventions, particularly in low- and middle-income countries, is increasingly being recognised. This methodology uniquely identifies factors from qualitative research papers that can inform the improvement of health care interventions . ExpertsThe review used a best-fit framework of themes from Pakistan , which mIt is important to note that the new themes of vaccine hesitancy and insecurity in high-risk polio areas are the current major barriers faced by polio-endemic countries of Nigeria, Pakistan and Afghanistan . TherefoInsecurity impacts on vaccination activities either resulting in the mass movement of children leading to missing vaccination, inaccessibility or polio workers being targeted by insurgents. A recent report condemned the killing of a dedicated polio worker in Pakistan while undertaking polio vaccination activities . A suggeFurther evidence demonstrates the use of community mobilisation using indigenous community members in conflict settings. This was a cluster randomised control trial that was carried out in conflict areas of Pakistan . The finAnother important community factor relates to vaccine resistance with underpinning factors as shown in Nigeria is an important case study when it comes to addressing vaccine hesitance as remarkable success was achieved through the innovative use of Voluntary Community Mobilisers (VCM) . These vImmunisation is key to universal health coverage and that immunisation coverage is a valuable indicator of the strength of services delivered by any health system . Since v"}
+{"text": "Dystonia is a movement disorder characterised by involuntary muscle contractions resulting in abnormal movements, postures and tremor. The pathophysiology of dystonia is not fully understood but loss of neuronal inhibition, excessive sensorimotor plasticity and defective sensory processing are thought to contribute to network dysfunction underlying the disorder. Neurophysiology studies have been important in furthering our understanding of dystonia and have provided insights into the mechanism of effective dystonia treatment with pallidal deep brain stimulation. In this article we review neurophysiology studies in dystonia and its treatment with Deep Brain Stimulation, including Transcranial magnetic stimulation studies, studies of reflexes and sensory processing, and oscillatory activity recordings including local field potentials, micro-recordings, EEG and evoked potentials. Dystonia is defined by \u201csustained or intermittent muscle contractions that lead to abnormal movements, postures, or both\u201d Fahn . The mosAlthough the pathophysiology of dystonia is not fully understood, the loss of intracortical inhibition, increased cortical plasticity and abnormal sensorimotor integration are known to be involved in dystonia.Deep brain stimulation of the globus pallidus interna (GPi-DBS) is considered effective and safe in refractory dystonia and long-term depression (LTD). Low-frequency rTMS (repetitive TMS) around 1\u00a0Hz leads to sustained decreases in motor cortex excitability which allows topographically restricted increase in motor cortex excitability that can be blocked by NMDA antagonists suggesting LTP-like mechanisms demonstrated co-contraction of agonist and antagonist muscles in a task-specific manner during handwriting in patients with writer\u2019s cramp can provide some insight into the pathophysiology of dystonia, in particular through the pattern of activity of the basal ganglia-thalamo-cortical pathways. It can also inform us on the mechanisms of action of DBS. Single-cell recordings have been collected during DBS surgery, as part of the process of target localisation, and give us information at unicellular level. Cortical electrical activity recorded through EEG, electrocorticography (EcoG) or magnetic encephalography (MEG) allows to record activity at another point of the basal ganglia-thalamo-cortical circuitry. This activity has often been recorded in conjunction with basal ganglia LFP. Finally evoked potentials (EP) from the DBS pulse within the GPi have been recorded on the cortex.In Parkinson\u2019s disease (PD) many studies have reported increased activity not only in the beta band in the STN but also in GPi and was functionally coupled across the GPi, GPe, and the motor cortex. In patients with tonic dystonia, delta oscillatory activities (2\u20134\u00a0Hz) were measured in the GPi with delta GPi\u2013GPe functional coupling from the DBS pulses within the GPi have been recorded on the cortex and contribute to our understanding of the mechanism of action of GPi DBS. The studies have demonstrated a peak in the central regions, likely to be the primary motor cortex, around 20\u201330\u00a0ms (Tisch et al. In summary dystonia severity appears related to GPi low frequency activity. One the mechanisms of action of DBS is probably through reducing this activity. This might be used as biomarker for adaptive DBS in the future. Nevertheless, the role of activities in other frequency bands and the effect of DBS on those activities need to be explored further. In addition, we do not know how these findings differ according to the type of dystonia. Microrecordings have confirmed that the low frequency activity recorded with LFP comes from the pallidal neurons and is relevant for the expression of the symptoms including real-time modulation of dystonic contractions by effective sensory tricks. Evoked potentials and recordings of cortical activity also support the role of an inhibition of the motor cortex mediated by the pallido-thalamo-cortical pathway. Finally, adaptive DBS approaches may differ for thalamic targets owing to added complexity of thalamic reorganisation in dystonia (Lenz et al. Dystonia pathophysiology as elucidated by neurophysiology shows wide ranging abnormalities some of which normalise after clinically effective GPi DBS. The keys facts are summarised Table"}
+{"text": "Recent advancements in research on control beliefs have enabled the assessment of inter-individual differences in its intra-individual variability via a measure of control diversity. However, past research has focused on control diversity in relation to daily stressors. Among a sample of prosocial exemplars, this experience sampling study investigates control diversity across general daily activities and explores its relationship with subjective well-being. Participants indicated the activity they were primarily involved in, the extent to which they felt in control over the situation, and levels of positive and negative affect each time they were signaled; satisfaction with life was measured using a one-time survey at the end of the study. Results from multilevel structural equation modeling suggested that control diversity did not significantly predict positive or negative affect, or satisfaction with life. The study points toward the lack of association between control diversity and subjective well-being and highlights future directions for research."}
+{"text": "Xanthophylls are coloured isoprenoid metabolites synthesized in many organisms with a variety of functions from the attraction of animals for impollination to absorption of light energy for photosynthesis to photoprotection against photooxidative stress. The finding by Proctor and co-workers makes a new addition to the last type of functions by showing that zeaxanthin is instrumental in coordinating chlorophyll biosynthesis with the insertion of pigment-binding proteins into the photosynthetic membrane by glueing the protein components catalyzing these functions into a supercomplex and regulating its activity. Commentary on: Xanthophyll carotenoids stabilise the association of cyanobacterial chlorophyll synthase with the LHC-like protein HliDBy Matthew S. Proctor and co-workers2 to yield singlet oxygen, a ROS (reactive oxygen species) which causes photodamage and photoinhibition. Chlorophyll, however, is the most abundant pigment on Earth, reaching \u223c0.1\u2005M in thylakoids. How each and all these innumerable potentially harmful molecules can possibly be prevented from producing ROS and destroying the photosynthetic systems they are aimed to serve is a rich chapter of biological studies. Among other examples is the peculiar folding mechanism of light-harvesting complex (LHC) pigment-proteins, binding most of the chlorophyll on earth: these chlorophyll\u2013protein complexes can only fold by incorporating a set of xanthophylls (oxygenated carotenoids) [The early definition of carotenoids as \u2018accessory pigments\u2019 in photosynthesis is misleading. These isoprenoid pigments are essential for both light harvesting and photoprotection. Indeed, chlorophylls, essential components for both light harvesting and charge separation reactions in all photosynthetic systems, have a major problem with oxygen: their triplet states react with Otenoids) , a functtenoids) respect tenoids) . Despitezeaxanthin is located at the interface between protein subunits or binds to allosteric sites to induce protein\u2013protein interactions, via conformational change.The way authors have traced this new function of xanthophyll is reverse genetic. Based on the observation that Synechocystis 6803 produces zeaxanthin while no know function makes explicitly use of this xanthophylls, they did produce a zeaxanthin-less strain. Previous work from members of the team had shown that TAG-ChlG formed a complex with HliD (a photoprotective protein quenching Chl fluorescence) and Ycf39 (an insertase carrying the precursor polypeptide for thylakoid insertion) in a pull-down assay. This complex was dissociated in the zeaxanthin-less strain but could be reconstituted by fusing zeaxanthin repleted membranes with the depleted ones. Re-association of the HliD and ChlD enhanced the catalyting activity of ChlD to release the accumulation of the ChlG substrate monovinyl (MV)-Chlide and resume Chl a biosynthesis. This is a brilliant experimental work. Authors discuss the glue-like activity of Zea on the basis of its rigid structure due to the extension of the conjugated double bond of the polyene to both b-ionone rings. This part of the work requires further research to clarify whether the complex-stabilizing function of Zea is a case of a general function for Zea in mediating protein\u2013protein interactions or is specifically taylored for HliD and ChlD complex. The HliD\u2013Ycf39 complex was maintained in the Zea-less mutant, supporting the latter hypothesis. Indeed, evidence from higher plants yielded several reports of changes in the aggregation state of proteic supercomplexes depending of the synthesis of Zea or structurally similar xanthophylls. To list a few examples, Zea synthesis in high light was needed for the dissociation of supercomplexes within the Photosystem II antenna system . This wo"}
+{"text": "The purpose of this study was to determine how an interprofessional education (IPE) intervention with Communication Sciences and Disorders (CSAD) and Nursing students can affect their ability to communicate effectively with older adults who have hearing loss. As the older adult demographic increases, healthcare professionals must provide competent care, which includes effectively managing hearing-related communication difficulties in an increasingly diverse population. Faculty received IRB approval to conduct a descriptive mixed-methods study to determine knowledge and satisfaction of students completing an IPE activity. Students were divided into teams of CSAD and Nursing students. Students listened to a brief presentation on IPE before they were introduced to a complex case study of an 84-year-old male with age-related hearing loss. We administered a knowledge assessment questionnaire (KAQ) we created regarding communication with older adults before and after the activity. A total of 92 participants in the two programs completed the KAQ before and after the activity and an evaluation with a Likert-type scale and open-ended questions. CSAD students scored significantly higher than Nursing students on the KAQ at baseline and KAQ scores increased significantly among both groups from pretest to posttest. The evaluation data indicated students were able to learn other perspectives and found the experience valuable. Based on the improvement in scores on the KAQ and evaluation data, this IPE activity increased knowledge related to communication with older adults with hearing loss and awareness of the roles of other professions."}
+{"text": "Influenza (flu) infection is a leading cause of morbidity and mortality in older adults. Although vaccination is the best strategy to combat the effects of flu infection, there is a marked decline in vaccine efficacy in older adults. We hypothesized that an increased level of basal inflammation, a hallmark of the aging, plays a role in this decreased vaccine efficacy and that a vaccination strategy designed to augment the aged response to flu would be beneficial. Adjuvanted vaccination with a conserved influenza protein enhanced viral clearance, antibody production, and protected against weight loss in both young and aged mice. Vaccination also decreased levels of inflammation brought about by leukocyte infiltration and induced a strong type 2 cytokine environment in the lung. Additionally, vaccination reduced the proportion of flu-specific FoxP3+ T regulatory cells (Tregs) and decreased levels of TGF-\u03b2 in aged lungs following infection. Accumulation of senescent cells, another hallmark of aging, can contribute to the inflammatory environment via their senescent associated secretory phenotype (SASP). Supporting a role for senescent cells in exacerbating age-related deficits in the response to vaccination, treatment of aged mice with the senolytic drugs Dasatinib and Quercetin also decreased levels of Tregs and TGF-\u03b2 in the lungs following flu infection. These findings give insight to how vaccination responses can be ameliorated in older adults by targeting both inflammatory and regulatory signals and how accumulation of senescent cells could influence the dysregulation of the immune response with age."}
+{"text": "We report a case of a 29-year-old male referred to our hospital for endovascular treatment of a left-sided painful varicocele. Standard retrograde embolization via the left renal vein was not possible because of the presence of a left circum-aortic renal vein making the catheterization of the testicular vein not feasible. The patient was successfully treated via ultrasound-guided percutaneous antegrade access of the testicular vein at the inguinal level with subsequent cyanoacrylate glue embolization as a minimally invasive alternative to surgical therapy. This is a new approach to varicocele embolization when the left renal vein does not feed the varicocele."}
+{"text": "The visual word form area (VWFA) in the left ventral occipito-temporal (vOT) cortex is key to fluent reading in children and adults. Diminished VWFA activation during print processing tasks is a common finding in subjects with severe reading problems. Here, we report fMRI data from a multicentre study with 140 children in primary school . All performed a semantic task on visually presented words and a matched control task on symbol strings. With this large group of children, including the entire spectrum from severely impaired to highly fluent readers, we aimed to clarify the association of reading fluency and left vOT activation during visual word processing. The results of this study confirm reduced word-sensitive activation within the left vOT in children with dyslexia. Interestingly, the association of reading skills and left vOT activation was especially strong and spatially extended in children with dyslexia. Thus, deficits in basic visual word form processing increase with the severity of reading disability but seem only weakly associated with fluency within the typical reading range suggesting a linear dependence of reading scores with VFWA activation only in the poorest readers. The poorest 5\u201310% of the children with insufficient mastery of reading are considered as presenting with developmental dyslexia2. While phonological deficits have been suggested to play a central role for the impairments seen in dyslexia3, processing visual words for meaning remains the central task in reading. Thus, understanding how poor readers and especially children with dyslexia process visual words in the context of a semantic task is essential, and functional neuroimaging studies offer insight into the neural mechanisms involved.Reading words correctly and fluently is a prerequisite for understanding written text. Like other scholastic skills, reading shows a normal distribution within the population15 and consequently in reading for meaning. Especially an area within the left mid-fusiform gyrus, often referred to as the visual word form area (VWFA) typically shows a preference in responding to words or orthographic stimuli as compared to visual control stimuli such as checkerboard patterns7 even though this region is also involved in other processes17. Subsequent studies extended the notion of a VWFA to an entire visual word form system (VWFS) in the inferior occipito-temporal cortex that is progressively tuned to orthographic regularities with more anterior locations22 and a slightly more posterior region to encode letters (letter form area: LFA23). Even more fine grained functional divisions of the complex left vOT system along the posterior-anterior and lateral-medial dimensions were detected in more recent studies: Functional and microarchitectonic properties divide the larger visual word form system into a posterior perceptual word form area responsible for feature extraction and a more anterior lexical integration site corresponding approximately to the location of the classic VWFA24. Lately, Bouhali and colleagues suggested an additional lateral to medial functional segregation of the vOT, whereby multiletter sublexical graphemes are processed in medial regions in comparison to the lexico-semantic encoding in more lateral sites25.It is undisputed that the left ventral occipito-temporal cortex (vOT) has a prominent role in processing print33 and that it is initiated by grapheme-phoneme correspondence training in children34 and adults36. The location of the emerging print-sensitive area within the vOT seems constrained by its established connectivity to language regions long before children learn to read at school37 and develops in cortical patches with only weak specialization29. The exact location of the VWFA within the left vOT is subject to individual variations38. Importantly, the strength of the print sensitive response in the VWFA is modulated by the expertise level of reading in children and adults33. It is for this reason that the VWFA has also been referred to as reading skill zone40. Meta-analyses on children and adults with reading impairments revealed some of the most robust and consistent functional alterations in left vOT areas when tasks involve reading. Poor readers such as those with dyslexia activate this region less than typical readers43. This deficient activation in poor readers seems convergent for shallow and deep alphabetic languages45 and even generalizes to different writings systems46. Disruption of the activation in the VWFS through stimulation or through acquired brain lesions47 results in impaired reading48, again emphasizing its critical role for fluent reading.Developmental studies indicate that the print-sensitive response of the VWFA shows a rapid development in the first few months and years of learning to read49. The visual word processing system in the left vOT is sensitive to the perceptual and lexical properties of words31 and sublexical units25. This system is, however at the same time strongly influenced by top-down input from higher level phonological and semantic language areas50 and the dorsal attention network51. Therefore, also task demands modulate the differences seen between typical readers and subjects with dyslexia in the left vOT. Several studies reporting reduced left vOT activation in dyslexia for example employed tasks that put strong demands on phonological processing, such as reading pseudowords55, reading pseudohomophones54, or reading words having orthographic-phonological conflicts56. Studies employing explicit or implicit reading tasks with regular words typically reported less robust underactivation in left vOT in dyslexia , although deviant left vOT activation could still be detected in more focal ROI analyses60 or when comparing basic word processing and not print-sensitivity contrasts among groups30. While these studies emphasize that reading impairments are strongly associated with hypoactivation in inferior occipito-temporal regions under certain task conditions, it is less clear to what extent such deviations occur in more natural reading situations when readers focus on the meaning of words.Taken together, recent evidence points to a pivotal role of the VWFA for reading and reading acquisition64. Thus, the goal of the current study was to investigate word reading in a large sample of children at varying reading skills in a primarily dimensional approach using a task that emphasizes semantic processing, i.e. reading for meaning. The use of our large sample allowed us to use reading fluency as a continuous regressor in the analyses instead of examining just categorical differences.Some ambiguity in the dyslexia results might also stem from the typically small samples and the often-used categorical approaches in neuroimaging studies. Large-scale imaging studies on reading are still rare, and so far often examined tasks challenging the phonological system65]. Data analyses focussed on the modulation of print-sensitivity through reading skills across the entire multi-center sample while controlling for differences between sites.In order to obtain a large sample of subjects we developed a short controlled reading task in a multi-center study (NEURODYS). This task not only included visual words in the context of a semantic task, but also a low-level visual control task (cross-hatches and stars), where subjects had to decide whether all characters were the same or not and meta-analyses42. A recent meta-analysis specifically addressing word processing in shallow and deep orthographies indicated that this overactivation is especially prominent in shallow orthographies44. Accordingly, the hyperactivation observed in our sample of children with reading difficulties may have been especially pronounced because of using simple and short words in our task, which can be read easily and automatically by typical but not by children with reading difficulties. The precentral regions are known to be involved in the articulatory network97, speech production98 and silent articulation99. An overlap of frontal regions usually showing hyperactivation in individuals with reading disorder with regions supporting articulation has been demonstrated in a recent quantitative meta-analysis and thereby supports the notion that such hyperactivation reflects compensatory processing to access the meaning of print96. Thus, poor reading children may use these regions to support reading by employing letter-by-letter decoding or covert articulation processes30. As an alternative explanation the hyperactivation in the precentral gyri could also reflect greater difficulties with and increased resources necessary for covert articulation or general processing of words in children with dyslexia. In either case these explanations converge with less efficient processing as indicated by slower reaction times to semantic decisions on words (and not symbols strings) in our task.The strong group difference of increased (rather than decreased) print-sensitive activation in children with dyslexia in left and right precentral regions is well in line with previous findings. Such overactivation has been reported consistently across studies [e.g.101 orthographic complexity (Dutch and German). This merging of three different groups may be seen as a limitation of this study. To address this potential limitation, our linear mixed models included site and age as covariates to regress out potential confounds. This suggests that the critical effects in this study were not affected by the different conditions across the three\u00a0sites or by the differences in age among the children, and thus generalize across involved languages and educational systems. Further one needs to keep in mind, that the present study design does not allow to finally conclude on whether the hypoactivation of the VWFA and the hyperactivation in the precentral gyri to print reflect specific dyslexia effects or whether these differences may rather be explained by differences in print exposure or reading level between children with dyslexia and typical reading skills. However, a study comparing adolescents with dyslexia to age- and reading-level matched control groups, suggested that the hypoactivation in the left parietal and fusiform gyri indeed reflect atypical brain function in dyslexic individuals, while the frontal hyperactivation is more likely related to the current reading skills independent of dyslexia102.In order to achieve a large sample size, we collected data across three different sites, including two different languages with similar semi-transparentTaken together, this large-scale neuroimaging study on the influence of word reading fluency on brain activation emphasizes the important role of the left vOT for reading skills and highlights its functional impairment in poor reading children. It extends the insight of previous large-scale studies specifically challenging phonological processing and using more liberal criteria for defining dyslexia by focussing on reading for meaning. Thus, the present study represents one of the largest datasets (n\u00a0=\u00a0140) on functional activation in children with severe dyslexia compared to typical readers and clearly corroborates previous notions that the print-sensitive activation in the left vOT represents a critical limiting factor of reading for meaning especially at the lower end of the reading fluency spectrum. Given that the most robust underactivation in children with dyslexia occurred in this region, the left vOT function appears to be a prime target for supportive interventions in those needing it most.Supplementary Information."}
+{"text": "We present the case of a young male with high clinical suspicion of a penile fracture found to have dorsal vein rupture by emergency department point-of-care ultrasound. This false form of penile fracture was subsequently confirmed intraoperatively.Penile fracture is a rare clinical entity that may be separated into true vs false penile fracture, with only true fracture requiring surgery. The images submitted here add to the sparse literature evidence that point-of-care ultrasound can be used to differentiate between these two clinical entities. Additionally, this case report highlights an opportunity for further research into and application of point-of-care ultrasound to the evaluation of suspected penile fractures. A 26-year-old man presented to the emergency department with penile pain and bruising after accidental trauma during intercourse one hour prior to arrival. He reported immediate pain and bruising with detumescence within minutes. Exam was revealing for eggplant deformity of the penis with soft dorsal ecchymosis and mass felt extending into the scrotum .This patient\u2019s ultrasound images showed hematoma external to Buck\u2019s fascia and intact tunica albuginea, suggestive of dorsal penile vessel injury and 3. TSurgical exploration confirmed a dorsal vein rupture with subsequent drainage of a large hematoma involving the dorsal vein and dartos layer dorsally. There were no acute complications. On follow-up the patient reported recovery of sexual function without curvature, but with mild residual pain to the incision site at six-week postoperative follow-up.What do we already know about this clinical entity?Penile fracture is a rare clinical entity encountered following trauma to the erect penis and is typically managed surgically.What is the major impact of the image(s)?This image increases awareness of false penile fracture and the utility of ultrasound in evaluation for possible penile fracture.How might this improve emergency medicine practice?Increased use of point-of-care ultrasound may allow for improved accuracy in differentiating between true and false penile fracture and reduce the need for surgery."}
+{"text": "In December 2019, severe acute respiratory syndrome coronavirus 2 (SARS-CoV-2) firstly presented in a group of patients suffering from symptoms of pneumonia in Wuhan, China .Triaging women based on their symptoms by phone call carried out by a medical intern prior to the scheduled visit to the ART center. For the new patients first seen in the center, triage is performed before access to the clinic for consultation by a medical intern wearing the appropriate personal protective equipment (PPE).Ensuring proper social distancing through proper respect of the time of scheduled visits with spacing out the appointment intervals between patients to minimize the crowding in the waiting area. Additionally, preventing any relative to the couple to enter the IVF center, especially children or adults over the age of 60\u2009years.Laboratory evaluation of all patients before initiating the IVF cycle treatment through complete blood picture, C-reactive protein, erythrocyte sedimentation rate, and serum ferritin . Those wPatients under immune suppression therapy and those who have medical disorders affecting the immune system are advised to postpone the IVF cycle treatment as the risk of acquiring the COVID-19 complications is high.Patients sign a written consent before starting the IVF cycle treatment, including the freeze-all embryos policy and deferring the transfer after the pandemic ends. Otherwise, if the couple insisted on fresh embryo transfer, we inform them that the available data on the effect of COVID-19 on pregnancy is limited .Using the fixed GnRH antagonist protocol and GnRH agonist triggering for all patients at risk of ovarian hyperstimulation syndrome (OHSS).Minimizing the monitoring visits by using the long-acting GnRH agonist drugs and long-acting gonadotropin stimulation drugs like corifollitropin alfa prefilled pin . AdditioThe use of effective preoperative analgesia in patients requiring office hysteroscopy prior to IVF , and thePatients who get pregnancy tested for B-HCG through providing a home blood sample by a laboratory technician and repeat it after 48 h to confirm doubling. Using Telehealth-based care through the Whatsapp messenger, follow-up of their condition and revising the medications in the first eight weeks at home is instituted.In Egypt, in vitro fertilization (IVF) is a client-paid service with no medical insurance, the cost of IVF cycles is high relative to the average yearly income of Egyptians, and private centers mainly offer assisted reproduction services. Therefore, pragmatic solutions should be established to amend the recent guidelines to suit the local requirements in the context of the golden rule of \u201cdo no harm.\u201d These solutions should be in conjunction with the latest guidelines to continue the proper management of patients while ensuring adequate resource allocation in response to COVID-19. We proposed the following measures adopted by an Egyptian IVF clinic to support the best practice and face the highly dynamic situation on day to day basis. This could provide guidance for low-resource countries that must cope with the pandemic for an extended period.As it is unclear how long the COVID-19 pandemic will continue, we are hoping that those measures could help the ART centers to provide their services for patients in developing countries, especially with low COVID-19 infection rates like Egypt. Moreover, the provided measures could be initially recommended in the centers located in countries with high infection rates such as the European Union and the USA after eradication of the COVID-19 pandemic."}
+{"text": "A lockdown is a social distancing intervention that aims to minimise physical contact between individuals and groups in order to reduce transmission of a communicable disease . Social The lack of any effective pharmaceutical interventions for COVID-19 or vaccine against SARS-CoV-2 and the resulting failure to contain the virus has led to widespread adoption of physical distancing measures . For exaA number of governments have been provided anonymous aggregated mobile phone GPS data allowing monitoring of compliance with physical distancing at the population level . In contA number of other technology companies are also sharing GPS data with academic institutions, governments and health providers . RecentlSimilarly, Unacast has repurposed location and movement data that they collect via mobile phones to create a daily updated interactive scoreboard for \u201csocial distancing activity\u201d for the United States that gives data at national, state and county levels . For example, the Inter-American Development Bank and IDB Invest have developed a public COVID-19 dashboard for Latin American and Caribbean countries including traffic data supplied by the navigation apps, Waze & Moovit (COVID-19 has resulted in the introduction of lockdowns on an unprecedented scale in an attempt to modify the course of the pandemic and mitigate its effects. Measuring compliance with physical distancing is crucial to inform modelling deliberations and enable evidence-based policy making. We have summarised three key approaches that are currently being used to help estimate compliance with lockdowns in the context of the COVID-19 pandemic. Although currently used in a small minority of countries, there is substantial opportunity to scale up use of these approaches globally."}
+{"text": "Although effective mobility is the end result of the functional capacity of multiple systems, some adults appear resilient and maintain higher mobility later in life. Epidemiological studies suggest up to 20% of adults aged 65 and older maintain fast walking speed in the presence of multi-system impairments. What could be the reason for such mobility resilience? In this symposium, we focus on the brain dopaminergic signaling as a potential driver of mobility resilience. We examine the genetic val158met polymorphism of catechol-O-methyltransferase (COMT), an enzyme regulating dopaminergic signaling in the brain. The Met allele results in higher tonic dopamine levels; the Val allele results in lower tonic dopamine levels. The influence of COMT polymorphism on mobility is known for Parkinson\u2019s disease (PD) and neurodegenerative conditions, but it not clear for asymptomatic adults aged 65 living in the community. We present data from the Cardiovascular Health Study, the Health Aging Body Composition Study, and several neuropharmachological studies with extensive information on PD ascertainment, medications, and health characteristics. We test the hypothesis that the Met allele of the COMT gene is associated with a) lower fall risk (Rosso), b) slower decline in gait reserve (Sprague), c) less gait slowing due to frailty (Mannon), d) more favorable response to pharmacotherapy in older adults without PD (Bohnen). Our results suggest a unique modulatory capacity of dopaminergic-related genes that may favor mobility resilience and predict better response to therapy. Our data provide clues for novel targeted interventions to delay physical disability in older adults."}
+{"text": "Using thymidine analogues and retrovirus-mediated cell labeling, we show that synaptic integration and subsequent survival of newborn neurons is decreased in NIPP1*-expressing mice, suggesting that newborn neurons compete with preexisting granule cells for stable integration. The data presented here provides experimental evidence for a long-standing hypothesis and suggest cellular competition as a key mechanism regulating the integration and survival of newborn granule cells in the adult mammalian hippocampus.Dentate granule cells are born throughout life in the mammalian hippocampus. The integration of newborn neurons into the dentate circuit is activity-dependent, and structural data characterizing synapse formation suggested that the survival of adult-born granule cells is regulated by competition for synaptic partners. Here we tested this hypothesis by using a mouse model with genetically enhanced plasticity of mature granule cells through temporally controlled expression of a nuclear inhibitor of protein phosphatase Neural stem/progenitor cells (NSPCs) generate the vast majority of neurons in the brain during embryonic development. However, the neurogenic capacity of NSPCs does not end with birth as new neurons are born across the entire life-span in discrete areas of the mammalian brain . One of Neural stem/progenitor cells (NSPCs) generate the vast majority of neurons in the brain during embryonic development. However, the neurogenic capacity of NSPCs does not end with birth as new neurons are born across the entire life-span in discrete areas of the mammalian brain . One of We investigate the survival and morphology of newborn granule cells in the adult dentate gyrus in a model of enhanced plasticity of mature neurons to test the hypothesis that a mechanism of competition governs integration into the neuronal circuits.1 (NIPP1*) ..1* mice,1* in mature granule cells and found that enhancing plasticity of the mature granule cell circuit . Wi. Wi22]. circuit 25] imp imp1* insurvival 18] [19 [191* insurvival . This unsurvival 38] [39 [391* inWe used a single mouse model of enhanced plasticity with wildtype littermate controls. While, we interpret our data as a strong suggestion of a competitive mechanism at work, additional studies using different models and approaches are needed to prove that the effects observed are not specific to the model. In our model, the transgene is expressed under the control of the CaMKII\u03b1 promoter, which is active in all forebrain neurons. It is possible that, next to the effect of the immediate environment, other changes inherent to the transgene also affect neuronal integration and morphology. One immediate effect on newborn granule cells may be altered input by medial entorhinal cortex cells, the primary input of the hippocampus.Suppl. Fig."}
+{"text": "Dear Editor,The coronavirus disease 2019 (COVID-19) pandemic has caused an immense surge in the use of personal protective equipment (PPE) in healthcare settings. The use of goggles is an integral part of the PPE used by healthcare professionals involved in direct patient care . This caCommercial anti-fogging agents commonly used by scuba divers can be used when donning goggles and have been found to be effective. Procuring sufficient amounts of commercially available anti-fogging agents can be difficult in the current situation. Some tricks used by professional scuba divers can be applied in emergency settings. Many scuba divers spit on the inner surface of their eyewear and wipe the sputum to prevent fogging . We haveThe author declares that he has no competing interests."}
+{"text": "Diet plays a major role in cardiovascular disease (CVD) risk.To determine the effectiveness of a Mediterranean-style diet for the primary and secondary prevention of CVD.We searched for randomised controlled trials (RCTs) of Mediterranean-style diets in healthy adults and those at increased risk of CVD (primary prevention) and with established CVD (secondary prevention).Thirty RCTs were included, 22 in primary prevention and eight in secondary prevention. Clinical endpoints were reported in two trials where there was moderate quality evidence for a reduction in strokes for primary prevention, and low quality evidence for a reduction in total and CVD mortality in secondary prevention. We found moderate quality evidence of improvement in CVD risk factors for primary prevention and low quality evidence of little or no effect in secondary prevention.There is still some uncertainty regarding the effects of a Mediterranean-style diet in CVD prevention. Cardiovascular disease (CVD) is currently the leading cause of mortality worldwide, causing one-third of deaths globally . PreventThe Seven Countries study from the 1960s demonstrated the potential beneficial effects of a Mediterranean dietary pattern . Systema4567810Studies also differ in their definition of a Mediterranean diet. The original description reflects the common dietary pattern of communities in countries of the Mediterranean region in the early 1960s , which w131415There is evidence supporting potential mechanisms to explain the beneficial effect of the Mediterranean diet on cardiovascular health . Favoura1819202122101124252627We included RCTs with follow-up periods of three months or more, examining the effects of a Mediterranean-style diet in adults (18 years or more) without established CVD and in those with established CVD to determine the effects of the intervention on primary and secondary prevention respectively. To reach our definition of a Mediterranean-style diet the intervention needed to include at least the following two components: a high monounsaturated/saturated fat ratio ; and high intake of plant-based foods, including fruits, vegetables and legumes. This definition was based on recent work showing that the protective effects of the diet appear to be most attributable to olive oil, fruits, vegetables and legumes 30. We coClinicalTrials.gov and the World Health Organization International Clinical Trials Registry Platform (ICTRP) for ongoing trials. We applied no date or language restrictions. We contacted authors where necessary for further information.We identified trials through systematic searches of the following bibliographic databases (from inception to 26 September 2018): Cochrane Central Register of Controlled Trials, MEDLINE, EMBASE, and Web of Science Core Collection. We adapted the preliminary search strategy for MEDLINE (Ovid) for use in the other databases (Appendix 1). In addition, we checked reference lists of reviews for additional studies. We searched Two review authors independently screened titles and abstracts for inclusion of all the potential studies identified as a result of the searches and coded them as \u2018retrieve\u2019 or \u2018do not retrieve\u2019. We combined the responses from each of the two review authors and retrieved the full-text study reports/publications. Two review authors independently screened the full text and identified studies for inclusion and exclusion using the pre-specified inclusion criteria. In the case of any disagreements, a third author arbitrated (KR).We used a data collection form for study characteristics and outcome data, which we had piloted. Two review authors extracted study characteristics and outcome data from included studies. Disagreements were resolved by consensus or by involving a third person (KR). One review author (KR) transferred data into the Review Manager software . We doubTwo review authors independently assessed risk of bias for each study using the criteria outlined in the Cochrane Handbook for Systematic Reviews of Interventions . We resoWe processed data in accordance with the Cochrane Handbook for Systematic Reviews of Interventions . We expr2 statistic to measure heterogeneity among the trials in each analysis. We used the five GRADE considerations to assess the quality of a body of evidence as it relates to the studies that contribute data to the meta-analyses for the prespecified outcomes. In the main analysis we did not combine primary and secondary prevention studies and different comparator groups as this would have made interpretation of the results difficult due to heterogeneity; instead we conducted four main analyses: Mediterranean dietary intervention versus no intervention or minimal intervention for primary prevention; Mediterranean dietary intervention versus another dietary intervention for primary prevention; Mediterranean dietary intervention versus usual care for secondary prevention; Mediterranean dietary intervention versus another dietary intervention for secondary prevention.We summarised and analysed all eligible studies in Review Manager 5. We undertook meta-analyses only where this was meaningful, i.e. if the treatments, participants and the underlying clinical question were similar enough for pooling to make sense. We used a random-effects model as we could not assume that all studies in the meta-analysis are estimating the same intervention effect, but rather are estimating intervention effects that follow a distribution across studies. We used the ISearching for this updated Cochrane review yielded 9483 records after duplicates were removed. Following screening of titles and abstracts 9296 were excluded and 187 full text papers were assessed for eligibility. Twenty one completed and seven ongoing trials were included from the new search. Six studies were included from the previous review and rescreening the original database identified three further trials, so a total of 30 completed studies and seven ongoing trials were included in this review presented in Table None of the nine included studies reported on clinical events.The PREDIMED trial was the only trial reporting clinical events for this comparison . This trThe Lyon Diet Heart Study examined the effect of advice to follow a Mediterranean diet and supplemental canola margarine compared to usual care in 605 CHD patients over 46 months and there was low-quality evidence of a reduction in adjusted estimates for CVD mortality and total mortality with the intervention .Three studies reported clinical endpoints for this comparison group 5459, and54535463We assessed the overall quality of evidence using the five GRADE considerations presented in Table For CVD risk factors for comparison one, there was low-quality evidence for a possible small reduction in total cholesterol and moderate-quality evidence for a reduction in systolic (\u20132.99 mmHg (95% CI \u20133.45 to \u20132.53) and diastolic blood pressure , with low or very low-quality evidence of little or no effect on LDL or HDL cholesterol or triglycerides.For comparison 2 there was moderate-quality evidence of a possible small reduction in LDL cholesterol and triglycerides with moderate or low-quality evidence of little or no effect on total or HDL cholesterol or blood pressure.For comparison three there was low-quality evidence of little or no effect of a Mediterranean-style diet on lipid levels and very low-quality evidence for blood pressure.For comparison four where only two trials contributed to the analyses there was low or very low-quality evidence of little or no effect of the intervention on lipid levels or blood pressure.In this substantive review update, 30 RCTs (49 papers) and seven ongoing trials met our inclusion criteria. Four pre-specified comparison groups were used to analyse the data to address both heterogeneity between participants and comparison groups and aid interpretation of findings. Clinical endpoints were measured in only one large primary prevention trial (PREDIMED) , where f535463There were a large number of included trials , but few reported on clinical endpoints, our primary outcome, and the majority of trials reported on CVD risk factors for primary prevention. Due to the breadth of the review question, heterogeneity in terms of participants, interventions and comparators was high and we have attempted to reduce this by conducting the main analyses in four comparison groups for primary and secondary prevention and different comparators. Two studies were excluded from all main analyses in sensitivity analyses due to published concerns regarding the reliability of the data 546364. O5463We conducted a comprehensive search across major databases for interventions involving the Mediterranean diet. Two review authors independently selected and assessed trials for inclusion using pre-specified criteria, extracted data and assessed the quality of trials to minimise potential biases in the review processes. Our decision to restrict this review to interventions that only focused on the effectiveness of a Mediterranean-style diet per se avoided the potential confounding effects of other behavioural interventions on our outcomes, for example, those involving increased exercise in the context of trials examining multifactorial interventions. Our decision to exclude trials in people with diabetes who are at increased risk of CVD also missed relevant studies, but people with diabetes represent a distinct group and interventions for the management of diabetes are covered by another review group, the Cochrane Metabolic and Endocrine Disorders Group.Definitions of the Mediterranean diet differed across studies. We used a classification system in our definition in an attempt to address the heterogeneity. The components required to meet our definition of a Mediterranean-style diet were based on previous definitions 14151617,1415165Several recent systematic reviews and overviews of reviews have reported on the effects of the Mediterranean diet on cardiovascular health. A recent narrative overview of both prospective observational studies and RCTs concluded that the Mediterranean diet has some beneficial effects for CVD prevention but the effects were inconsistent between studies with few studies reported in meta-analyses and the overview authors called for more high-quality trials to address the inconsistencies . This isA recent systematic review included both primary and secondary prevention trials and pooled clinical endpoints for these showing beneficial effects for major vascular events (risk ratio (RR) 0.69, 95% CI 0.55 to 0.86) and stroke . Other s10Despite the large number of trials included in the review there is still uncertainty regarding the effects of a Mediterranean-style diet on clinical endpoints and cardiovascular disease (CVD) risk factors for both primary and secondary prevention from current clinical trial evidence. Two trials reporting clinical endpoints for secondary prevention were excluded because of concerns regarding the reliability of the data, so the available evidence is restricted to one large trial and a small trial reporting unadjusted estimates of effect. Evidence for primary prevention on clinical endpoints is limited to one large trial with methodological issues . Further adequately powered primary prevention trials are needed to confirm findings on clinical endpoints to date. Many trials reported on CVD risk factors, particularly in primary prevention, but heterogeneity precluded meta-analyses for some outcomes. Several ongoing trials have been identified which will add to the evidence base.The additional file for this article can be found as follows:10.5334/gh.853.s1Appendix 1.Medline search strategy (Ovid)."}
+{"text": "In this paper, a novel approach is presented to the measurement of marine icing phenomena under the presence of a two-phase condition. We have developed a sensor consisting of an electrostatic array and a signal processing based on a decision tree method. A three-element electrostatic array is employed to derive signals having linearly decoupled characteristics from which two key parameters, ice and water accretion layer dimension, can be determined for the purpose of environmental monitoring. The quantified characteristics revealed a correlation with the ice layer thickness in spite of the strong influence from the top water phase layer. The decision tree model established a relationship between the signal characteristics and the two accretion thickness parameters of water and ice layer. Through experimental verification, it has been observed that our sensor array in combination with the decision tree model based signal processing provides a simple practical solution to the challenging field of a two phase composition measurement such as in the marine icing considered in this study. Marine Icing is an adverse phenomena affecting offshore vessels and other structures like wind farms or oil aGraz Technical University applied Combitech IceMonitor measuresThe Goodrich 0871LH1 ice detectors use an aHoloOptics T42 employs The Ice Meister Model 9734-SYSTEM industrial ice detector [IDS-20 system measuresJeung Sang Go with Xiang Zhi employedWe have developed a sensor array that allows a flexibility to be applied on curved surfaces such as wind turbine wings. Our earlier work described in utilizedPreviously we processed the array signals by a multidimensional least squares method and in aMachine learning algorithms are being used in many applications ranging from flood prediction , solar rThe ice can take different formations described in , howeverOur research into sensing and detecting the marine icing as a two phase phenomena has been initially founded on the principles of linearly decoupled array of electrostatic sensors of variable electrode gap spacing. The experimental verification confirmed our hypothesis of dissimilar gap spacing being capable to encode the stray electrostatic field above the sensor plane in a unique and linearly independent way. This phenomena was utilized in discriminating each individual phase, ice and water. Our team developed a multi-dimensional least-squares-method to map tconstant gap spacing, variable insulator height), (2) at the signal pick up circuitry , (3) at the signal processing algorithm level (decision tree method) and (4) at the spacial adaptation to curved surfaces . Our earlier setup resulted in a large variation of capacitance range which required a custom build circuitry for capacitance to frequency conversion. In this work, we adapted an off-the-shelf signal detection board FDC2214EVM from Texas Instruments [In this paper, we modified our earlier methods in four ways, (1) at the transducer array level using Ansys Maxwell software . The solAny traditional insulation material that is not permeable to water will provide the function of eliminating the conductance from the impedance measurement. PET sheets were readily available to us and their dielectric constant is similar to the epoxy resin used in the past. The critical part in obtaining the linearly independent characteristics across the array is in a different number of stacked layers of PET sheets above each array element.We have conducted a series of ice layer deposition experiments in a similar way described in using a The Decision tree model is constructed from the main root branches consisting of the interior nodes and the final nodes also called the decision nodes . The treWe have split the acquired signal data and the corresponding ice and water accretion estimate into the training data set and the test data set. The training data is used to derive the decision tree parameters during the training phase. Our decision tree implementation is based on the Entropy rule described in . In compWe implemented a twelve level deep decision tree processes the measured data based on entropy value where a low entropy value leads to the best leaf node in terms of purity. Applying the trained decision tree model to the test data results in the ice accretion estimate depicted in The Precision, Recall, F-Measure and Accuracy are commonly used for evaluating classification methods in Machine learning . PrecisiTP) is a classification method outcome where the decision tree method generates a correct positive class layer. Likewise, True Negative (TN) is a classification method outcome where the decision tree method generates a correct negative class layer. False Positive (FP) and False Negative (FP) are a classification method outcome where the decision tree method generates incorrect positive and negative class, respectively.True Positive (The Confusion-matrix yields the most ideal suite of metrics for evaluating the performance of a classification algorithm. Gupta providesThe conventional method of using the least squares method to our experimental data as reported in is preseA novel sensor array has been developed to measure the marine icing accretion and to allow flexibility in deployment over curved surfaces. A new signal processing method based on a decision tree method has been applied to the array data. A theoretical analysis confirmed linearly decoupled signal characteristics that are critical in discriminating the water phase influence on the ice accretion measurement. An experimental analysis validated the high relevance of employing the decision tree method for signal processing. The ice accretion estimate obtained through the decision tree method demonstrates a significant improvement over the conventional least square method and a similar characteristic with the Neural Network method, however of a lesser computational overhead and a smaller footprint. Our three element capacitive array is easy to fabricate with off-the-shelf components and the 4 ch 28 bit signal processing interface circuit from TI is also aligned with a very low cost characteristics. The nature of our non-contact based design without any moving parts and the low cost characteristics promises a robust solution towards the marine icing measurement under the harsh environmental conditions."}
+{"text": "Phylogenetic analyses were crucial to elucidate the origin and spread of the pandemic human immunodeficiency virus type 1 (HIV-1) group M virus, both during the pre-epidemic period of cryptic dissemination in human populations as well as during the epidemic phase of spread. The use of phylogenetics and phylodynamics approaches has provided important insights to track the founder events that resulted in the spread of HIV-1 strains across vast geographic areas, specific countries and within geographically restricted communities. In the recent years, the use of phylogenetic analysis combined with the huge availability of HIV sequences has become an increasingly important approach to reconstruct HIV transmission networks and understand transmission dynamics in concentrated and generalised epidemics. Significant efforts to obtain viral sequences from newly HIV-infected individuals could certainly contribute to detect rapidly expanding HIV-1 lineages, identify key populations at high-risk and understand what public health interventions should be prioritised in different scenarios. Phylogenetics and the pre-epidemic phase of HIV-1 spreadPan troglodytes) and gorillas (Gorilla gorilla) to humans.,Pan troglodytes troglodytes and Gorilla gorilla gorilla, endemic from Cameroon, were pointed as the sources of the zoonotic transmissions to humans, originating the groups M and N, and O and P, respectively [,The human immunodeficiency virus type 1 (HIV-1) has been spreading in human populations over the last 100 years and is responsible for most of the global HIV/AIDS pandemic. Phylogenetic analyses of simian immunodeficiency viruses (SIV) sequences from different species of non-human primates and of HIV-1 sequences from Central African countries were decisive to elucidate the origin of this pandemic human virus. Those analyses revealed that the four HIV-1 phylogenetic clades termed groups have resulted from different cross-species transmission events of SIV from chimpanzees and of the non-pandemic subtype B variants prevalent in the Caribbean region (BCAR).,FSU clade resulted from exportation of a subtype A lineage from the DRC to Ukraine in the 1980s, where it initially spread via heterosexual transmission for about a decade before its explosive dissemination among intravenous drug users (IDU). Cabello et al.CAR epidemic resulted from early viral transmissions from Hispaniola to Trinidad and Tobago and to Jamaica between the late 1960s and the early 1970s and from Hispaniola and Trinidad and Tobago to other Lesser Antilles islands at later times.Phylodynamics could provide important epidemiological insights about HIV-1 epidemics affecting a vast geographic area. This approach, for example, was used to resolve the spatiotemporal dynamics of the HIV-1 subtype A variant that dominates the epidemic in the former Soviet Union and Central (CRF45_cpx) Africa.Phylodynamics analyses also helped to elucidate the origin and populations\u2019 dynamics of HIV-1 lineages spreading within small communities. One example was the characterisation of an HIV outbreak in children from a Libyan hospital that occurred in 1998, suspected to have originated from the malicious intervention of foreign medical staff.Phylodynamics analyses combined with birth-death models could be a useful tool to elucidate the impact of preventive or therapeutic strategies on localised HIV epidemics. A recent study dated back the origin of a Belgian HIV-1 subtype F1 epidemic among men having sex with men (MSM) to the early 2000s and suggested that its extensive growth was controlled about 10 years later, most likely due to highly active antiretroviral therapy (ART) as prevention.Phylogenetics and the study of HIV-1 transmission networksThe absence of proofreading activity of the viral reverse transcriptase and fast replication rate make mutations to accumulate in HIV genomes in an epidemiological timescale.In an attempt to reconstruct the HIV transmission events in a population, the better the sampling coverage, the closer to reality is the inferred network. In this sense, most of the studies in this field have used databases compiled by national services for screening of drug-resistance mutations (genotyping), which generate HIV partial genome sequences for virtually every individual entering/failing therapy. Focusing on highly supported phylogenetic clusters mostly compose by local (from a single country) individuals, Hu\u00e9 et al.+ T cell counts, not on ART and not aware about the HIV serostatus were found, underscoring the importance of acute phase of infection in the HIV transmission dynamics. Despite the high HIV transmissibility during acute phase, Volz et al.To identify current and still active transmission networks, many studies apply a genetic cut-off to define clusters.When a dense body of clinical and demographic data from patients is available, the source attribution methods could be used to find potential transmission pairs and resolve the timing and direction of the infection. Ratmann et al.,While phylogenetics has been increasingly deployed to study HIV transmission dynamics in developed countries with concentrated epidemics, where viral sequences are routinely sampled, few studies were able to apply these tools in resource-limited locations, where the epidemic is generalised and HIV has the greatest burden. The main limitation is the lack of a good sampling coverage of these locations, for example, African countries has more than 60% of the HIV infection cases in the world, but less than 30% of the public available sequences. Yet, cohort studies like the HIV Incidence Provincial Surveillance System (HIPSS) and the Rakai Community Cohort Study (RCCS) has enlighten important features of HIV dissemination in geographic settings with huge epidemics like South Africa and Uganda, respectively.Phylogenetics analysis has been successful in identifying and analysing HIV-1 transmission networks, especially when sampling covers a great proportion of the infected population and when combined with detailed epidemiological and clinical data. Consequently, most studies describe transmission dynamics in developed countries, while significant sequencing efforts are still needed to phylogenetic methods be able to capture HIV transmission networks where the epidemic is worst. In an intermediate position, middle income countries might find in the phylogenetic approach a way to design better public health campaigns to halt HIV dissemination. Brazil, for instance, has one of the biggest public health systems in the world and access to ART is free and universal, with genotyping service deployed for those who fail therapy. This could be a good source of data to investigate HIV transmission dynamics in the country and complement the scarce literature on this topic."}
+{"text": "Activity-dependent protein synthesis plays an important role during neuronal development by fine-tuning the formation and function of neuronal circuits. Recent studies have shown that miRNAs are integral to this regulation because of their ability to control protein synthesis in a rapid, specific and potentially reversible manner. miRNA mediated regulation is a multistep process that involves inhibition of translation before degradation of targeted mRNA, which provides the possibility to store and reverse the inhibition at multiple stages. This flexibility is primarily thought to be derived from the composition of miRNA induced silencing complex (miRISC). AGO2 is likely the only obligatory component of miRISC, while multiple RBPs are shown to be associated with this core miRISC to form diverse miRISC complexes. The formation of these heterogeneous miRISC complexes is intricately regulated by various extracellular signals and cell-specific contexts. In this review, we discuss the composition of miRISC and its functions during neuronal development. Neurodevelopment is guided by both internal programs and external cues. Neuronal activity and external signals play an important role in the formation and refining of the neuronal network. miRISC composition and diversity have a critical role at distinct stages of neurodevelopment. Even though there is a good amount of literature available on the role of miRNAs mediated regulation of neuronal development, surprisingly the role of miRISC composition and its functional dynamics in neuronal development is not much discussed. In this article, we review the available literature on the heterogeneity of the neuronal miRISC composition and how this may influence translation regulation in the context of neuronal development. MicroRNAs (miRNAs) are among the most studied and discussed regulators of gene expression in the last two decades. The reason they have attracted so much attention is because of their specificity in targeting and versatility in their function. These small RNAs (~22 nt long) recognize their targets through a \u201cseed sequence\u201d (forming 5\u20138 base pair match on target mRNA) and lead to a rapid decrease in the corresponding protein level by translation repression and/or degradation of mRNA , miRNA mediated translation repression is a multistep process. Several studies have indicated a clear correlation between decreased protein levels and the degradation of mRNAs targeted by miRNAs associates with miRNAs and load them on to their cognate target mRNAs to form the core of the miRISC . Now theIn addition to miRNA mediated post-transcriptional gene silencing, AGO proteins are reported to perform various moonlighting functions in other subcellular compartments. Nuclear localized AGO proteins regulate transcriptional silencing, epigenetic modulation, alternative splicing, and DNA repair interacts with FMRP and AGO to regulate dendritic elaboration in larval sensory neurons (Barbee et al., Another correlative evidence suggesting miRISC as a regulator of dendrite morphogenesis is that various miRISC proteins show peak expression or activity during an intensive period of dendritogenesis. The decapping activator DCP1a shows development associated changes in its phosphorylation status (Blumenthal et al., As the axonal and dendritic processes meet their respective partners, further they mature to form pre- and post-synaptic compartments, respectively . NeuronaStudies have demonstrated the presence of entire protein synthesis machinery along with ribosomes at developing and mature synapses (Steward et al., Synaptic plasticity is the mechanism by which specific patterns of synaptic activity results in changes in synaptic strength . DifferemiRISC components have been shown to form heterogeneous and dynamic granules in neurons (Cougot et al., Compositionally distinct miRISC complexes have been shown to form in response to synaptic stimulation. These complexes play a crucial role in regulating the translation of specific mRNA downstream of synaptic activity. Drosophila miRISC protein AGO1, dFMR1, and Me31B were shown to interact with Ataxin-2 to regulate long term olfactory habituation and translation of CaMKII mRNA (McCann et al., Work from Gary Bassell's lab established FMRP phosphorylation as a reversible switch in regulation miRISC mediated repression of specific target mRNAs (Muddashetty et al., 2+ results in a reduction of PICK-AGO2 interaction, leading to AGO2 dissociation from endosomes. This led to a subsequent increase in AGO2 mediated repression by dendritically localized miRNAs like miR-134 and miR-138 (Rajgor et al., Modulating the phosphorylation of AGO2 is shown to be a mechanism employed for regulating NMDAR mediated translation response and spine dynamics (Antoniou et al., Different miRISC components are degraded downstream of neuronal activity to mediate synaptic plasticity. For example, long term memory formation in drosophila NMJ is regulated by activity mediated rapid degradation of miRISC protein Armitage (Ashraf et al., The work we discussed in this review highlight the importance of dynamic miRISC in normal neuronal development. Several miRISC proteins are shown to have a significant role during distinct stages of neuronal development as summarized in Finally, it is important to highlight the role of the dynamic composition of miRISC in normal neuronal development as well as its potential implication in disorders of neuronal development. Indeed, defective translational regulation is a common feature of multiple neurodevelopmental and neuropsychiatric disorders (Kapur et al., Recent SFARI study has identified missense mutations in miRISC proteins AGO1, TNRC6B, and CNOT3 among patients diagnosed with Autism Spectrum Disorders (Chen et al., BN, SR, and RM reviewed the literature, conceptualized, and wrote the manuscript.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Robustness, compactness, and portability of tensegrity robots make them suitable candidates for locomotion on unknown terrains. Despite these advantages, challenges remain relating to ease of fabrication, shape morphing (packing-unpacking), and locomotion capabilities. The paper introduces a design methodology for fabricating tensegrity robots of varying morphologies with modular components. The design methodology utilizes perforated links, coplanar (2D) alignment of components and individual cable tensioning to achieve a 3D tensegrity structure. These techniques are utilized to fabricate prism (three-link) tensegrity structures, followed by tensegrity robots in icosahedron (six-link), and shpericon (curved two-link) formation. The methodology is used to explore different robot morphologies that attempt to minimize structural complexity (number of elements) while facilitating smooth locomotion (impact between robot and surface). Locomotion strategies for such robots involve altering the position of center-of-mass to induce \u201ctip-over.\u201d As an example, a sphericon formation comprising of two orthogonally placed circular arcs with conincident center illustrates smooth locomotion along a line (one degree of freedom). The design of curved links of tensegrity mechanisms facilitates continuous change of the point of contact that results from the tip-over. This contrasts to the sudden and piece-wise continuous change for the case of robots with traditional straight links which generate impulse reaction forces during locomotion. The two resulting robots\u2014the Icosahedron and the Sphericon Tensegrity Robots\u2014display shape morphing (packing-unpacking) capabilities and achieve locomotion through internal mass-shifting. The presented static equilibrium analysis of sphericon with mass is the first step in the direction of dynamic locomotion control of these curved link robots. Tensegrity structures are comprised of disconnected rigid compressive elements (links) suspended by a network of pre-stressed tensile elements (cables). The redundant links impart robust and fault tolerance, the strategic prestressed cable-link combination provides them with compliance and shape morphing ability (packing-unpacking) but do not move during assembly. Cables are intentionally cut past their tuned free length so that routing to distant holes does not require stretching cables or forcing links into position. With sufficiently oversized cable lengths, all connections may even be made on a flat surface, eliminating the need for jigs . FinallyThe proposed methodology provides the benefits of rapid prototyping and hassle-free assembly, and cable manipulation capability. The components are quickly produced, applicable to a range of designs, and simple to assemble. Cutting a link by laser takes around 2 min, while printing the same link through an FDM process takes 45 min (machine preparation times are approximately the same). Only five tools are used: fabric shears to cut cables, a BOSS LS-1416 laser cutter for the links, a wrench and hex key to modify the clamping force of the nut-bolts and forceps to grab difficult-to-grasp cables when tuning. Additionally, individual cables may be passively and independently clamped and removed without pretensioning. Icosahedron, as illustrated in The three-link prism and the Tensegrity mechanisms adapted to mobile robots conventionally achieve locomotion through rolling about their body. Intuitively, morphologies resembling spheres facilitate smooth rolling which can be defined as continuous change in the point of contact along the body as the robot moves. Traditional straight link robots are limited in their ability to approximate a spheres curvature and achieve smooth rolling motion. Closer approximations to a sphere require increases in structural complexity, i.e., more links, cables and connections. For example, as shown in Another approach to achieving smooth rolling locomotion is by directly introducing curvature to the compressive rigid links. Here, the curvature introduces additional bending moment to links (straining the definition of tensegrity). Smooth uniaxial rolling locomotion has been achieved using tensegrity mechanism comprising of two curved links\u2014a morphology that resembles a condensed spehricon, rather than a sphere and Sphericon (curved two-link) Tensergrity Robots.The three orthogonal links were modified to incorporate mass-shifting systems and the electronics payload was distributed over two additional links as highlighted in This morphology overcomes challenges faced by the previous case and incorporates mass-shifting systems into both curved links while the control payload was bundled and suspended in the center of the robot as illustrated in This tensegrity robot can be modeled as a sphericon mechanism . They arI coordinate system be fixed in the inertial reference frame with origin at a point on a planar surface and orthonormal basis vectors B coordinate system be fixed on the body reference frame, origin at the center of the sphericon and orthonormal basis vectors {\u00eax, \u00eay, \u00eaz}. The rotation matrix defining the relationship between the two coordinate systems can be written as . Thereafter, it is rotated by \u2212\u03b3 about the z-axis of the intermediate coordinate system (\u00ea3) as illustrated in B and inertial I coordinate systems arewhere the mechanism is rotated 45\u00b0 about the y-axis of the inertial coordinate system Consequently, the velocity of these points can be calculated asThe potential energy of the system is equivalent toThe static equilibrium positions of the mechanism can be obtained through the Lagrange's equations where the kinetic energy is zero and the generalized coordinate is \u03b3The paper presents a design methodology for fabricating tensegrity robots of varying morphologies with modular components that facilitates rapid prototyping and hassle-free assembly, and capabilities to manipulate cable positions and tensions during assembly. Exploration of desirable morphologies for locomotion is critical to the design of tensegrity robots and includes investigation of their shapes (straight versus curved links), their placement (location of center of link arcs), number of links and even non-structural elements. The resulting two autonomous shape morphing tensegrity robots\u2014the straight link Icosahedron and curved link Sphericon morphology\u2014achieve locomotion through internal mass-shifting utilizing the presented mass-shifting mechanism. The curve link tensegrity robot demonstrates smooth locomotion and packing behavior with folding-deployment orientations.All datasets generated for this study are included in the article/TR fabricated all the tensegrity morphologies, designed the mechatronics, programming logic of the robots and contributed to the writing the draft. CG assisted TR with fabrication, writing and performed the mathematical analysis. VV supervised the research and oversaw all the activities.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Sudden cardiac death caused by ventricular arrhythmias is among the leading causes of mortality, with approximately half of all deaths attributed to heart disease worldwide. Periodic repolarization dynamics (PRD) is a novel marker of repolarization instability and strong predictor of death in patients post-myocardial infarction that is believed to occur in association with low-frequency oscillations in sympathetic nerve activity. However, this hypothesis is based on associations of PRD with indices of sympathetic activity that are not directly linked to cardiac function, such as muscle vasoconstrictor activity and the variability of cardiovascular autospectra. In this review article, we critically evaluate existing scientific evidence obtained primarily in experimental animal models, with the aim of identifying the neuronal networks responsible for the generation of low-frequency sympathetic rhythms along the neurocardiac axis. We discuss the functional significance of rhythmic sympathetic activity on neurotransmission efficacy and explore its role in the pathogenesis of ventricular repolarization instability. Most importantly, we discuss important gaps in our knowledge that require further investigation in order to confirm the hypothesis that low frequency cardiac sympathetic oscillations play a causative role in the generation of PRD. Sudden cardiac death caused by ventricular arrhythmias is a leading cause of mortality globally, resulting in approximately 50% of all cardiovascular-related deaths each year . Excessiin vitro and in whole animal preparations in vivo that prove that sympathetic neuronal networks most likely involved in the control of cardiac function can exhibit LF oscillatory activity under some experimental conditions. We then discuss the mechanisms involved in the generation of rhythmic sympathetic discharges and explore the physiological role of patterned activity in the sympathetic system and its impact on neurotransmission efficacy. In doing so, we identify important gaps in our knowledge that need to be addressed in future studies.This article aims to review the available evidence in support of the hypothesis that rhythmic sympathetic nerve traffic to the myocardium underlies the origin of PRD. We first focus on how excessive adrenergic signaling affects myocardial repolarization. We then present a comprehensive review of published data obtained in rodent brain tissue Cardiomyocyte repolarization represents a complex sequence of electrical events that occur during phases 1 to 3 of the action potential in which the net outward current exceeds the net inward current, causing the return of the membrane potential to its baseline resting state prior to the next depolarization. Cardiac ventricular repolarization is a significant determinant of the QT interval, represented on the surface ECG by the interval between the start of the QRS complex and the end of the T wave .There is general agreement that the T wave is the result of voltage gradients that exist within the ventricular myocardium during cardiac repolarization although the precise mechanism appears to differ depending on the species studied and the experimental preparation used. Using arterially perfused canine right ventricular wedge preparations, Antzelevitch found three layers of electrically and functionally distinct cell types of the ventricular myocardium: the epicardial cells, the M cells and the endocardial cells . These sIn addition to the transmural electrical gradient, there is also evidence of electrical heterogeneity between the apex to base and left2+ current which leads to an increase in APD but this is counterbalanced by the concomitant increase in outwards K+ currents via the rapidly (IKr) and slowly (IKs) activating delayed rectifier potassium channels (Sympathoexcitation leads to norepinephrine release which activates \u03b2-adrenoceptors (\u03b2-AR) to modulate myocardial repolarization and contractility. \u03b2-AR stimulation increases L-type Cachannels . Sympathchannels . This efchannels .2+ channels, ryanodine receptors (RyR) and phospholamban, with concomitant increase in sarcoplasmic reticulum (SR) Ca2+-ATPase (SERCA) activity and membrane depolarizations during phase 4 of the action potential. This process is also known as delayed after depolarizations (DADs) dependent phosphorylation of proteins involved in excitation\u2013contraction coupling which includes L-type Caactivity . This res (DADs) and paths (DADs) and by p via RyR and a de current . At the current . Electri current . DADs oc current . Adverse current . On a ma current . Finally current . As a re current .In summary, sympathoexcitation leads to both an increase in triggered activity, and dispersion of repolarization. This leads to abnormalities in activation and propagation of electrical activity in the ventricular myocardium that have been shown in experimental and clinical studies to be pro-arrhythmic .An area of intense clinical research has been the search for a reliable biomarker of increased susceptibility to potentially fatal ventricular arrhythmia which would help direct clinical intervention such as prophylactic implantation of an implantable cardioverter defibrillator device (ICD). Various non-invasive methods have been studied, including assessments of increased/altered sympathetic tone [heart rate variability and baroX-, Y-, and Z-. Low frequency (\u22640.1 Hz) periodic changes of the T wave vector provide an index to measure both sympathetic activity and its effects on ventricular repolarization. In a cohort of 908 patients, increased PRD predicted total and cardiovascular mortality in survivors of MI and was independent of underlying heart rate and respiratory activity. Furthermore, in multivariate analysis PRD provided incremental prognostic value in addition to established risk markers such as LV ejection fraction and measure of T wave alternans enhance the magnitude of PRD whilst pharmacological blockade of \u03b2-adrenergic antagonists have the opposite effect . The perOne of the most remarkable characteristics of sympathetic neuronal discharges is their rhythmic nature. Autonomic neuroscientists have applied power spectral analysis methods based on fast Fourier transform (FFT) algorithms to detect rhythmic patterns in sympathetic neurons and peripheral nerves both in experimental laboratory animals and in human subjects .Rhythmic sympathetic oscillations occur over a wide spectrum of distinct frequencies, ranging from 0.1 to 10 Hz, depending on the sympathetic outflow being measured . In humaLow-frequency oscillations in sympathetic outflows appear to be less ubiquitous than cardiac-related (2\u20136 Hz) and respiratory-related (1\u20133 Hz) rhythms. Nevertheless, numerous studies have found that LF rhythms are a robust feature of sympathetic neuronal networks involved in the control of cardiac function. Although none of the studies discussed in the following sections have investigated rhythmic sympathetic oscillations in the context of ventricular repolarization instability, the mechanisms described herein are likely to contribute, at least in part, to the origin, regulation and synchronization of PRD.Sympathetic activity originates in a lower brainstem region known as the rostral ventrolateral medulla (RVLM). The RVLM contains a group of C1 catecholaminergic neurons and a group of non-catecholaminergic neurons believed to produce glutamate . RVLM neLow-frequency oscillatory patterns have been identified in single RVLM neurons in experiments conducted in unanesthetized, decerebrated, vagotomised and artificially ventilated cats with denervated baroreceptors , 1996 anin vitro studies have demonstrated that RVLM neurons have the capability of displaying intrinsic pacemaker activity in conditions of reduced synaptic activity, which suggests that synaptic inputs are only involved in the modulation of rhythmic patterns , nucleus intermediolateralis thoracolumbalis pars funicularis, intercalated nucleus (IN), and central autonomic area (CA). The axon from the spns exit the spinal cord through the ventral root to make synaptic contact with cardiac sympathetic ganglia via white rami communicans. Anatomical tracing studies in guinea pigs and catsin vivo studies conducted in whole animal preparations. Neuronal recordings from thoracic preganglionic axons in anesthetized cats with high spinal transection at the C1 level showed neuronal discharge variability in the range of 0.1 Hz that were temporally synchronized with the oscillations in systemic arterial pressure are significantly increased in patients after MI . HoweverTo our best knowledge, there are no studies in experimental animals models of MI that have investigated changes in the power of the LF component in the variability of neuronal discharges of bulbospinal RVLM neurons, spns in the IML and postganglionic sympathetic neurons of the CSN. Electrophysiological studies conducted to investigate the neuronal response properties to MI in anesthetized cats have shown that interruption of the left coronary artery blood flow produced a substantial increase in the discharge of afferent sympathetic fibers that supply the ventricular myocardium and this effect was mimicked by intracoronary administration of bradykinin . FunctioMi triggers a cardio-cardiac reflex which results in increased activity of preganglionic fibers of the third thoracic white ramus communicans and these responses were found to be preserved in animals with spinal cord transection . ExperimA recent study using a porcine model of MI revealed that the spontaneous LF rhythmic firing rate of intracardiac GP neurons in the left ventricle are preserved at the same level following a MI, however, with a significant reduction in the detection of afferent inputs. These functional changes were associated with a significant increase in intracardiac neuron cell size and an upregulation in the expression of the sympathetic neuronal marker Tyrosine Hydroxylase . Future The physiological meaning of sympathetic oscillatory activity remains unclear. Many studies support the notion that rhythmic activity promotes the coordination of neuronal firing of individual sympathetic neurons which may lead to a highly coordinated and more efficient release of neurotransmitter at the nerve terminal . Also, rin vitro studies conducted in fully innervated isolated rabbit hearts have shown that electrical stimulation of CSN (with a stimulation frequency of 15 Hz for 50 s) changed the spatial dispersion of repolarization (DOR) from apex toward the base to base toward the apex within 15 s following the start of the stimulation (At present, the physiological mechanisms underlying the genesis of PRD are unknown. In this review article we worked under the unverified assumption that recurrent periods of ventricular repolarization instability follow the LF rhythm of cardiac sympathetic postganglionic activity. In support of this hypothesis, mulation . When symulation , 2016, tmulation . FurtherSince The discovery of PRD as a novel marker of CSN traffic and strong predictor of death has recently reignited the interest in the phenomenon of sympathetic rhythmicity. The experimental evidence reviewed here identified sympathetic circuitries contained in the brainstem and in the spinal cord which may have direct connections with the ventricular myocardium and that are capable of generating LF oscillatory activity. However, the hypothesis that PRD is directly driven by sympathetic neuronal oscillations , 2016 isNM designed the review and drafted the manuscript. RA contributed to the writing of the final version of the manuscript. Percentage contributions are NM 70% and RA 30%. All authors read and approved the final manuscript.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "This series of 12 articles, consisting of 9 original articles and 3 reviews, is presented by international leaders in translational cancer research. This series highlights the various efforts to establish valuable panels of patient-derived xenograft (PDX) models from various cancer types and relevant tools to apply translational research. We are especially pleased to also have reports in this series which focus on important new developments to serve as alternative patient-specific model systems. Patient-directed medicine is an attractive concept that is embraced by clinicians to improve therapeutic success. PDXs are considered to retain the unique genetic characteristics of the patient tumor, therewith enabling the prediction of patient-specific tumor responses. This Special Issue includes three reviews describing the potential translational power of current PDXs for head and neck squamous cell carcinoma , pancreaThe original papers by Meneceur et al. and OshiThe importance of the tumor niche on drug response was also investigated in PDX models of acute myeloid leukemia described in the contribution by Schueler et al. . They deConsiderations regarding the fitness of traditional PDXs as tools for response prediction especially also relate to their use as platforms to evaluate the efficacy of immunotherapies. Liu et al. describeThis series also includes four original papers describing the use of alternative PDX-based systems for therapy response prediction. One interesting application of PDX xenografted tumors is the use of thin-cut tissue slice cultures (TSC). TSC has the advantage of relatively fast and standardized culture procedures with maintenance of the original 3D architecture and essential cell interactions. Suckert et al. describeAnother interesting alternative PDX platform to mouse-based PDX models that has been pursued intensely for various cancer types over the last 15 years is the zebrafish (ZF) xenotransplantation model. Like PDXs in immune-compromised mice, patient-derived xenografted tumor tissues in zebrafish embryos have been suggested as attractive models to facilitate co-clinical trials and implement personalized medicine. In this special series, we have two papers that address highly relevant issues related to the utility and translational power of these PDX systems. The paper by Usai et al. offers aFinally, another alternative PDX platform is provided in the contribution by Winter et al. using thTo finish, this collection on PDX models is completed by the report by O\u2019Farrell et al. , who offThis series of articles demonstrates the wide use of PDX models in a broad and diverse field of research. It contains detailed descriptions for the development of PDXs for a specific cancer type, while others report on more generally applicable issues regarding the utility of PDX models. Besides the use of the immune-compromised mouse as a host for PDXs, several papers highlight alternative systems for patient-specific tissue engraftment. Collectively, these articles are a valuable asset to the field of PDX research, with the overall goal to aid patient-directed medicine and to improve therapeutic success."}
+{"text": "Since the implementation of deep-brain stimulation as a therapy for movement disorders, there has been little progress in the clinical application of novel alternative treatments. Movement disorders are a group of neurological conditions, which are characterised with impairment of voluntary movement and share similar anatomical loci across the basal ganglia. The focus of the current review is on Parkinson\u2019s disease and Huntington\u2019s disease as they are the most investigated hypokinetic and hyperkinetic movement disorders, respectively. The last decade has seen enormous advances in the development of laboratory techniques that control neuronal activity. The two major ways to genetically control the neuronal function are: 1) expression of light-sensitive proteins that allow for the optogenetic control of the neuronal spiking and 2) expression or suppression of genes that control the transcription and translation of proteins. However, the translation of these methodologies from the laboratories into the clinics still faces significant challenges. The article summarizes the latest developments in optogenetics and gene therapy. Here, I compare the physiological mechanisms of established electrical deep brain stimulation to the experimental optogenetical deep brain stimulation. I compare also the advantages of DNA- and RNA-based techniques for gene therapy of familial movement disorders. I highlight the benefits and the major issues of each technique and I discuss the translational potential and clinical feasibility of optogenetic stimulation and gene expression control. The review emphasises recent technical breakthroughs that could initiate a notable leap in the treatment of movement disorders. If a PD patient overcomes the initial freeze, a movement towards a particular goal could be successfully achieved. Similarly, the therapies for movement disorders face difficulty with the translation of novel solutions from basic neuroscience level, but once translated clinically, their implementation is usually efficient and lasting. The major steps of the fundamental PD research so far were triggered by levodopa pharmacological application, apomorphine infusion pumps and deep-brain stimulation (DBS). Since then the translational advance of PD therapy has stalled in a gait freeze with little development. Now, this is about to change and recent research advances might soon revolutionize the treatment for some neurological diseases. PD is just one representative of the movement disorders, which are a large group of hypokinetic and hyperkinetic conditions with different genesis, symptoms and progression. However, the majority of them share the functional principles of motor execution, their physiology undergoes similar neuromodulatory control and the anatomy of their neuronal circuits generally overlaps. Therefore, novel research findings and treatment innovations for a particular dysfunction would have a noteworthy impact on the therapy for the rest of the movement disorders. The review focuses particularly on the therapeutic approaches designed to control the neuronal function. Other \u2018non-neuronal\u2019 therapeutic directions such as immunotherapy and infusion therapy are outside the scope of this review. Immunotherapy uses antibodies and inhibitors that bind to the neurotoxic antigens. Infusion therapies involve continuous application of pharmacological agents such as levodopa and dopamine agonists. Immuno- and infusion therapies are highly-beneficial and may further exert a significant therapeutic impact. The extensive literature about their translation requires a separate review. Here, I will address how the genetic control of neuronal function can be utilized for the treatment of movement disorders. I will review the development of optogenetic DBS and the progress of DNA- and RNA-based gene therapy. The review encompasses the innovative research in the fields of DBS, optogenetics and gene therapy and examines the proximity of the novel methodologies to clinical translation.2The last prominent therapeutic innovation of movement disorders was achieved in the 1980\u00a0s DBS is a technique that delivers electric current to basal ganglia regions such as globus pallidus internus, globus pallidus externus or subthalamic nucleus. The neuronal stimulation through electric current is already outdated in the majority of laboratories conducting fundamental neuroscience research. Current-induced stimulation is now widely replaced by light-induced stimulation, a technique which is known as optogenetics The three main advantages of light-induced neuronal stimulation that position it as the preferred lab stimulation technique are: 1) physiological depolarization, 2) neurotransmission specificity and 3) neuronal selectivity. The physiological depolarization relies on threshold-dependent depolarization of the axonal hillock followed by axonal action potential with orthodromic spike propagation. This is compromised in electrically-evoked depolarization where the electric field depolarizes simultaneously different segments of the neurons, leading to antidromic spike propagation. This disadvantage of electrical stimulation leads to possible recruitment of distant neurons through direct axonal stimulation 3Currently, the most effective treatment for advanced PD is the electrical DBS with electrodes implanted in the subthalamic nucleus or internal globus pallidus, and with frequency of the electrical current in the range of 120\u2013130\u00a0Hz, delivered continuously. It is not fully understood what makes this stimulation protocol so efficient. The efficiency of DBS is a matter of controversy The classical model predicts that deactivation of subthalamic nucleus (STN) halts the dysfunctional excitatory subthalamic activity, which is abnormally increased in hypokinetic- (PD) and abnormally decreased for hyperkinetic movement disorders (HD and dystonia) The translational implication arising from these studies is that optogenetic stimulation must target different neuronal types and pathways to address the full spectrum of symptoms in patients with movement disorders. The optogenetic DBS may need to target more than one cell population for the parallel treatment of motor, postural and gait symptoms. The cognitive and speech symptoms observed in movement disorders will require the targeting of additional brain networks and their treatment unlikely will be addressed by the first translated generation of optogenetics DBS. Whether the optogenetic physiological stimulation will translate into better therapeutic treatment of movement disorders remains an open question. The translation of optogenetic methodology requires: 1) identification of the most suitable neuronal population or pathway that can mediate the therapeutic effect of DBS, 2) identification of the most efficient stimulation or inhibition frequency. While for some movement disorders, such as PD, the neuronal groups and stimulation protocol for DBS have been identified, for others, such as HD, it will take substantial pre-clinical experimental work before clinical trials are initiated.4The translational future of optogenetic DBS became even brighter after another technical development: the brain-computer interface (BCI). Closed-loop BCI interface allows the patterns of neuronal recordings to control the external stimulation Desynchronizing feedback stimulation approach is suggested to be effective closed-loop technique for the control of abnormally-synchronized neuronal populations observed in movement disorders Despite the promising start of adaptive DBS, this approach has been restricted to limited clinical trials and further technical development is needed for the approval of closed-loop DBS as a validated treatment option. The translation of closed-loop BCI adaptive DBS will require: 1) improvement of the signal detection algorithms, 2) development of electrophysiological biomarkers for the detection of dysfunctional neuronal activity across different movement disorders. The resolution of these issues will take several years and large number of clinical trials for the optimization of this methodology. The combination of DBS and BCI can advance the therapy of movement disorders, while the combination of optogenetics and BCI may lead to ground-breaking patient-centred therapy 5Adeno-associated virus (AAV), which is the most common virus used in optogenetics, is safe for use in rodents The European Medicines Agency (EMA) approved AAV-based product alipogene tiparvovec (Glybera by uniQuire) 6The translation of optogenetics to humans faces other technical challenges such as limitation in the cell specificity for non-transgenic species and variability of opsin expression. Currently, the optogenetic modulation of neural activity in non-transgenic animals and primates is successful only for a few promoters 12 particles per mL showed that 52\u00a0\u00b1\u00a08% of neurons that expressed TH also expressed YFP in one lab The success rate of opsin expression is another major consideration for the clinical translation of optogenetics. The variability of opsin expression depends on different factors such as the animal species, brain volume, targeted cell types and even technical skills. In transgenic mouse line, expressing cre-recombinase under the choline acetyltransferase (ChAT) promoter, 91.3\u00a0\u00b1\u00a01.3% of neurons that expressed yellow fluorescent protein also stained for the ChAT antibody and 93.5\u00a0\u00b1\u00a02.8% of neurons that stained for the ChAT antibody also expressed YFP 7333 in the tissue of a macaque brain The optogenetics must also resolve the technical issue of continuous light delivery in large brains. Rodents are much easier target due to their small brain volumes and light can be delivered in the structure of interest by a single optic fiber. The level of penetration of the light within the neuronal tissue shown as a function of distance from the fiber tip in brain tissue 8The Nobel Prize for Chemistry in 2020 was awarded to Emmanuelle Charpentier and Jennifer Doudna for the development of genome editing methodology. Their finding introduced a new conceptual approach for genetic control of dysfunctional neurons. While the concept of optogenetics is to stimulate populations of neurons, which are physiologically impaired due to advanced neurodegeneration, the concept of genome editing is to genetically reduce or slow down the process of neurodegeneration itself. Instead of injecting the brain with AAV viral vector that carries the gene for opsin expression as it is with optogenetics, gene therapy uses AAV viral vector to edit the mutant genes responsible for neurodegeneration . The DNAClustered regularly interspaced short palindromic repeats (CRISPR) and the accompanying CRISPR-associated system (Cas) genome editing constructs is a technique in which guide RNAs direct the nuclease Cas9\u00a0to selected sequences of genomic DNA. The enzyme Cas9 is recruited as molecular scissors to cuts both strands at a precise location and repair or remove the mutation. The genomic DNA is restored by non-homologous end joining or homology-directed repair; for current variants of CRISPR-Cas9 see reviews Another technique for DNA gene therapy is the zinc finger proteins (ZFPs). ZFPs are characterized with zinc finger array that targets selected DNA sequence and each individual finger relates to three bases. ZFPs include zinc finger nucleases known to cleave DNA and zinc finger transcription factors that can regulate gene expression Overall, the successful translation of gene therapy will be able to halt the process of neurodegeneration. This achievement will be able to affect not only the motor symptoms of movement disorders but also other symptoms due to dysfunctional brain circuits . The translation of DNA gene therapy requires additional pre-clinical tests regarding: 1) aversive immunological and inflammatory responses, 2) non-specific gene editing. It is a matter of time that these issues will be resolved but the safety concerns make the forthcoming initiation of this methodology uncertain. While the adverse effects of DNA gene editing can lead to unwanted permanent mutations of the genome, RNA gene therapy, by contrast, allows the researchers to make only temporary regulations of the gene expression. If the RNA-based suppression of mutant genes results in accidental adverse effect it can be easily discontinued. Because the neurons will rapidly degrade the RNA nucleotides, any errors evoked by the RNA-based treatment would be soon washed out. If we are searching for the imminent next step of the gene therapy in patients with movement disorders, we may have to look at RNA technique.9In 2006 Andrew Fire and Craig Mello were awarded with the Nobel Prize for their finding that RNA interference (RNAi) methodology can silence targeted gene expression. Their study demonstrated how RNAi suppresses gene translation, by neutralizing targeted mRNA molecules Preclinical tests showed enormous potential of the RNAi methodology for the therapy of movement disorders This is not the case with shRNA, which is easily delivered by AAV. The shRNA technique uses a transcribed RNA that is enzymatically cleaved of hairpin by Dicer . The adv10ASO are synthetic single-stranded nucleotides, with approximate length of 12\u201322 bases that complementary bind messenger RNA (mRNA) to supress mutant protein expression The pathogenesis of Parkinson\u2019s disease involves dominantly-inherited genetic causes. One of the most frequent loci of mutation is the leucine-rich repeat kinase 2 (LRRK2) and genetic errors or variations within the LRRK2 gene result in enhanced formation of abnormal protein, \u03b1-synuclein (aSyn). The neurotoxic aSyn accumulates intracellularly and leads to widespread neuronal degeneration. Recently-developed model for gene therapy of PD involves the administration of ASO to supress the post-transcriptional LRRK2 gene expression. Targeted delivery of ASO in mice brains inhibits local gene expression by directly binding to target mRNA and supressing the synthesis of aSyn ASO has been proposed as a suitable treatment strategy for monogenic hyperkinetic movement disorders such as Huntington\u2019s disease. Fundamental preclinical research showed that ASO robustly lowers the htt protein levels and ameliorates disease-associated symptoms and reverses disease phenotype in rodent models of HD 11Movement disorders encompass hypokinetic and hyperkinetic neurological conditions, requiring differential treatment approaches. In order to choose the most appropriate potential therapies we must consider their major methodological disadvantages . A largeMarian Tsanov: Conceptualization, Visualization, Writing - original draft, Writing - review & editing.The authors declare that they have no known competing financial interests or personal relationships that could have appeared to influence the work reported in this paper."}
+{"text": "Acute coronary syndrome (ACS) is caused by reduced perfusion of the myocardium and characterized by chest pain. The primary goals of treatment for ACS are to restore blood flow through occluded coronary arteries and prevent recurrent coronary events. Antiplatelet and anticoagulant therapies play a crucial role in the treatment of ACS by interrupting the thrombotic process.To characterize the pathophysiology of ACS and to describe the American College of Cardiology (ACC)/American Heart Association (AHA) guidelines for reperfusion therapy in patients with ST-segment elevation myocardial infarction (STEMI); the use of antiplatelet and anticoagulant therapies for the treatment of STEMI, non-ST-segment elevation myocardial infarction (NSTEMI), and unstable angina (UA), including patients who undergo percutaneous coronary intervention (PCI); and long-term antiplatelet therapy after an ACS episode.The preferred reperfusion strategy in patients with STEMI is PCI if it can be performed within 90 minutes after arrival at the hospital. Patients with NSTEMI or UA also may undergo PCI. Thrombolysis is an alternative method of reperfusion for patients with STEMI but not for patients with NSTEMI or UA. Dual antiplatelet therapy with aspirin and the thienopyridine clopidogrel is recommended by the ACC/AHA for 12 months in patients with STEMI, NSTEMI, or UA, including patients with coronary stents. Platelet glycoprotein (GP) IIb/IIIa inhibitors are routinely used during PCI in patients with STEMI and NSTEMI. These agents should be used in addition to aspirin and clopidogrel in patients with NSTEMI and elevated troponin levels who undergo coronary intervention. Unfractionated heparin (UFH) or the low-molecular-weight heparin enoxaparin may be used in patients with STEMI undergoing reperfusion with thrombolytic agents or PCI and patients with NSTEMI or UA. There are substantial data on enoxaparin in the ACS arena, but UFH is preferred for patients who undergo coronary intervention because of greater ease of therapeutic monitoring and reversal of anticoagulant effects if bleeding complications arise. The pentasaccharide fondaparinux may become an alternative to UFH and enoxaparin for patients with STEMI and some patients with NSTEMI or UA. Fondaparinux is preferred for patients with NSTEMI or UA who are at increased risk for bleeding when a conservative approach is chosen, but it is not recommended for patients when an early invasive approach is chosen because of the risk of catheter-related thrombi. The direct thrombin inhibitor bivalirudin may be used for anticoagulation in patients with NSTEMI who undergo early invasive procedures, and GP IIb/IIIa inhibitor use may be avoided in some patients; however, upstream antiplatelet therapy with clopidogrel is also needed if these patients undergo PCI. Patients undergoing coronary stenting must receive dual antiplatelet therapy.Antiplatelet and anticoagulant therapies for patients with ACS are complex. Evidence-based guidelines facilitate the therapeutic decision-making process for these therapies in patients with ACS."}
+{"text": "The available high-throughput omics data, such as genomics, transcriptomics, proteomics and metabolomics, provide us unprecedented opportunity and challenge to decipher the corresponding global molecular profiles in cells. The need of data integration is urgent by developing integrative bioinformatics methods . The bulMEMO: mass spectrometry-based sample vectorization to explore chemodiverse datasets\u201d Gaudry et al. proposed an approach called Memo for integrating mass spectrometry data. Memo captures the spectral diversity of complex samples to implement an efficient comparison of large amounts of samples without the need of a feature pre-alignment step. The efficiency of Memo was demonstrated on experiments about a large and chemodiverse sample clustering. Memo also demonstrates its superiority in computational time and other performance metrics.This Research Topic aims to provide a Research Topic of integatve bioinformatics techniques for biomedical data integration. In \u201cApplication of network pharmacology in the study of mechanism of Chinese medicine in the treatment of ulcerative colitis: A review\u201d Zheng et al. proposed a summary of the applications of tranditional Chinese medicine (TCM) for the treatment of ulcerative colitis. They summarized the multiple TCM databases available for ulcerative colitis. The multiple datasets were organized via a network pharmacology framework. The TCM resources presented here will benefit for the monotherapy and compound therapy of ulcerative colitis.In \u201cAlgorithms to anonymize structured medical and healthcare data: A systematic review\u201d Sepas et al. proposed a systematic review of algorithms to anonymize structured medical and healthcare data (SMHD). The paper summarized and categorized different anonymization approaches for different types of SMHD, such as demographics, diagnosis codes and genomic data with sufficient levels of protection and utility. Further research is expected to build more efficient algorithms for the anonymization of SMHD in the biomedical big data era.In \u201cEnhancer/gene relationships: Need for more reliable genome-wide reference sets\u201d Hoellinger et al. proposed a comparision study of the major methods available to detect the relationships between enhancer and gene. The identificaiton of enhancer-gene links will provide deep understanding of the cooperation between regulatory elements playing key roles in gene expression. In this work, the authors benchmarked three methods in the category of functional link methods. They concluded that it is urgent to propose new reliable and genome-wide reference data as well as the new bioinformatics methods for functional link identification between enhancer and gene.In \u201cThese interesting papers shed lens for the integrative bioinformatics methods in diverse scenarios such as in genomics, proteomics, clinical and TCM data. These diverse applications indicates the integrative bioinformsitcs methods are important in multi-omics data analytics. These papers also demonstrate that we need proposed case-intensive and flexible data integration strategy and method for the available multi-omics data according to particular research purpose."}
+{"text": "The area of interventional nanotheranostics combines the use of interventional procedures with nanotechnology for the detection and treatment of physiological disorders. Using catheters or endoscopes, for example, interventional techniques make use of minimally invasive approaches to diagnose and treat medical disorders. It is feasible to increase the precision of these approaches and potency by integrating nanotechnology. To visualize and target various parts of the body, such as tumors or obstructed blood veins, one can utilize nanoscale probes or therapeutic delivery systems. Interventional nanotheranostics offers targeted, minimally invasive therapies that can reduce side effects and enhance patient outcomes, and it has the potential to alter the way that many medical illnesses are handled. Clinical enrollment and implementation of such laboratory scale theranostics approach in medical practice is promising for the patients where the user can benefit by tracking its physiological state. This review aims to introduce the most recent advancements in the field of clinical imaging and diagnostic techniques as well as newly developed on-body wearable devices to deliver therapeutics and monitor its due alleviation in the biological milieu. The scope of various therapeutic approaches towards physiological ailments has widened in recent times in vivo imaging system have overcome the challenges of autofluorescence, low resolution, and closed-circuit camera by improving the penetration depth of the incident laser, that has resulted in non-invasive imaging modalities Bioimaging has proved to be an accurate and reliable diagnostic method owing to the visual aid in observing damaged tissue or organ Historically, the application of imaging techniques, that were originally developed for space applications, began in 1960s where researchers explored the possibilities of optical imaging, X-ray imaging and computed tomography (CT), magnetic resonance imaging (MRI) for inspecting food and agricultural products. Further advancements by assembling optical cameras, appropriate illumination and developing computer software began the era of bioimaging that opened a new research area. Currently acceptable clinical imaging techniques such as Positron emission tomography (PET), CT-scan, MRI, ultrasound imaging, or photoacoustic imaging have their own advantages and limitations.18F-fluorodeoxyglucose (FDG) is prepared by selectively replacing the oxygen atom by 18F, which is further metabolized by the cells revealing the metabolic processes following the Warburg effect. Similarly, 11C-L-methionine amino acid is used to identify cancer in the biological environment 64Cu labelled nanoparticles have been reported as an efficient alternative demonstrating shorter half-life and biocompatibility than the conventional probes 64Cu2+ is still a challenge, its doping with other metals prevents aggregation of the probe while extending circulation times and easy excretion. A recent report on the use of 89Zr conjugated Doxil as a nanotheranostic agent was used to assist in imaging the tumor recession and monitor the efficacy of the drugs in PET PET is one the most sensitive imaging tools that can reveal functional images at the molecular level with high resolution. Owing to its sensitivity, PET has been employed for various ailments such as cancer, neurodegenerative diseases, coronary artery and assessing myocardial variability. The operation of PET relies on the detection of the gamma rays originating from the annihilation of the positrons emitted from the radioactive molecule introduced in the patient. Among the most popular radioactive molecules, The clinical challenges associated with PET scan such as exposure to radioactive materials and biocompatibility are slightly resolved in computed tomography (CT) scans which are derived from X-ray imaging. Compared to the use of radioactive probes in PET, CT scans functions by collecting and analyzing the cross-sectional X-ray signals that are retrieved from the contrast agents injected in the patient several hours before the test. To obtain high-resolution images, the scan time is longer which necessitates the longer retention and circulation time of the contrast agents. The renal clearance of the contrast agents and prolonged circulation are achieved by controlled size of the contrast agents (larger than the glomerular filtration barrier) and partial diffusion in the blood. The success of the CT scan is justified by its ability to differentiate between soft tissues, water, and bones. Apart from barium sulfate, several different contrast agents based on iodine 99mTechnetium, which requires single photon emission computed tomography (SPECT-CT) and a tedious standard operating procedure While PET and CT scans require ionizing radiation for biological imaging, causing serious side effects on human health, magnetic resonance imaging has overcome some inherent problems associated with observing the skeletal and neuronal tissues While these imaging modalities are currently used in clinical practice, the demand for efficient and biofriendly contrast agents with ease of handling is growing. Due to the rise in electronic health and precision therapy, theranostics tools capable of monitoring physiological conditions are gaining popularity. Several innovative researches have brought diagnosis and therapy together with patient-controlled delivery of therapeutic agents, thereby facilitating personalized medication. The following section shows the advancements in the direction of theranostics and patient compliance.As highlighted above, the clinical application of probe-based imaging tools poses a health risk due to their radioactivity and biocompatibility. On the contrary, light and sound waves are relatively much safer alternatives to gather information from biological system. The spectrum of light encompassing UV, Vis, NIR, IR, are known to penetrate under the skin and reach deeper tissues and organs Figure A 33. Sou2 and Zr-MOFs are excellent sonosensitizers; their efficiency has been improved by introducing other transition metal groups like Fe3O4 to form Janus nanostructure 2 is popularly known as a sonosensitizer; however, it suffers from low transduction efficiency due to the rapid recombination of the electron-hole pairs. Owing to its biocompatibility, improving the sonodynamic transduction efficiency to produce ROS will be promising for cancer therapy and theranostics applications. The coating by Fe3O2 on TiO2 improves the transduction efficiency by narrowing the bandgap of TiO2, thereby reducing the recombination rate. Similarly, ZrO2-deficient nanoparticles showed higher efficiency in producing ROS under the US due to the more significant separation of the electron-hole pairs. The biocompatibility of ZrO2-x nanoparticles was improved by capping with amine-polyethylene glycol with high absorption in the NIR-II window. It is seen that the NIR-II irradiation also triggers ROS generation in the biological tissue, which is an intriguing approach to employing NIR-II-based therapeutic activation and imaging. Despite the ease of operability of ultrasound imaging in observing SDT activity Various sonosensitizers producing reactive oxygen species in an aqueous environment have been employed to treat cancer Molecular imaging is another upgrade in medical imaging providing information about the biochemical processes in the biological milieu. The resulting images overcome the limitations of poor spatial resolution and radiolabeling in other imaging tools. Based on its sensitivity towards nanocontrast agents, photoacoustic imaging has been employed in molecular imaging for several applications. J-aggregates of organic dyes are known to exhibit emission in longer wavelengths that further translate to photoacoustic imaging contrast agents. Indocyanine green (ICG) are also shown as a potential contrast agent due to its stable J-aggregates which are encapsulated in a liposome for high sensitivity and estimating saturated oxygen in blood vessels The success of photoacoustic imaging for diagnosis still relies largely on the efficiency contrast agents. However, the need for high intensity laser light to facilitate skin penetration may lead to low resolution due to optical attenuation. Other factors such as targeted tissue localization and ultrasound obstruction through gas cavities or lung tissues affect the resolution of the image Light based imaging modalities based on fluorescent nanomaterials are another approach to visualize biological processes and structures in living cells and tissues 2O2 catalyzed separation of the prodrug causes tumor cell death, resulting in highly efficient therapy. Conjugating fluorescent probe on similar designs could facilitate a theranostics solution to monitor the treatment progress of the tumor.Fluorescent nanomaterials have been at the forefront of the bioimaging-based tracking of biological tissues. Various functional groups have been reported to facilitate the functionalization of nanomaterials, acting as a probe for a visual aid of the targeted tissue. Targeting adipose tissues is a significant challenge due to their widespread availability as a protective layer surrounding vital organs and metabolic activity. Brown adipose tissue, among the other types, viz. Beige and White adipose tissue, actively metabolize fatty acids when subjected to low temperatures. Owing to the inherent fatty acid composition, the adipose tissue is non-responsive to alternate detection methods such as electrical signals, thus, leaving an optical or ultrasound-based approach Using optogenetics, researchers have developed methods to release therapeutic genes using visible light from smartphone as a convenient source to activate the release process, with the goal of making treatment more patient friendly. A recent study by Mansouri et al in situ, photo instability of the probes, long duration of the imaging, photon scattering and tissue absorption at the visible or near infrared region of the spectrum with poor spatiotemporal resolution Current fluorescence-based bioimaging modalities employing nanomaterials as contrast agents suffer from certain limitations such as altered physicochemical properties post-interaction with the biological entities Wearable devices are being developed for the therapeutic treatment of various organs and systems in the body. For example, wearable devices are being used to deliver insulin to patients with diabetes 2O2 are associated with the healing stages 2O2 is significantly high in the hemostasis and inflammation stage while gradually reducing through the proliferation and remodeling stages. Owing to its dynamic localized concentrations, H2O2 has attracted the development of smart composite dressings that can exhibit functional properties in the form of fluorescence or electrical signals. Wu et al developed europium coordinated polymers loaded into polyacrylonitrile nanofiber mats which can absorb the wound exudate and exhibit varying fluorescence intensity after interaction with localized H2O2 concentration and nuclear medicine, are particularly high in radiation dose, and care must be taken to ensure that the benefits of the examination outweigh the risks For cancer theranostics and obesity, it is now shown that the Brown adipose tissue is closely related to cancer progression and overcoming hypoxia-based treatment hindrance in the tissue. BODIPY-based fluorescent nanoprobe have been shown to target the adipose tissue, primarily the brown adipose tissue, that opens new avenues towards cancer theranostics. Nanomaterials with properties of targeting the adipose tissue and exhibiting fluorescent response upon excitation under NIR-II laser could be a new direction to tackle cancer. Photoacoustic imaging is another promising tool to observe and narrow down the field of vision to blood cells and single cells. Coupled with ultrasound imaging or electrical impedance, such methods can be useful for monitoring the treatment progress. Interventional nanotheranostics encompassing both therapeutics and diagnosis/monitoring of the treatment progress is a promising and enticing approach that would aim at patient compliant and patient friendly treatment."}
+{"text": "Since first described, sickle cell disease (SCD) has represented a therapeutic challenge for clinicians trying to help patients enduring the ramifications of this dreadful condition. This life-long disease from the first crisis begins with processes that will change the physiological milieu of patients. These processes in the setting of chronic anemia can translate into potentially worsening neurological symptomatology and organ damage that characterize those patients having frequent and recurrent vaso-occlusive crises. Thus, it is readily apparent that reducing the negative effects caused by levels of hemoglobin S does represent the best approach to ameliorate the long-term outlook of patients. The main therapeutic is to provide chronic transfusion support of patients with SCD. However, many patients are unable to tolerate the known adverse events of concomitant chelation therapy needed to reduce the iron load caused by a long transfusion issue, we introduce a variety of SCD-related topics describing concepts and advances in the treatment of this disease.Gargot et al.). Importantly, even though these data show that the risk of ischemic stroke was low at 3.1%, this risk than doubled by the time patients reached teenage years. These data emphasizes that therapeutic approaches for SCD patients should focus on targeted interventions early in childhood to decrease complications. For diagnosis and testing, this issue also revisits both erythrocyte and reticulocyte counts of SCD patients as predictors of vasoocclusive crises . Authors of this study recommend the use of reticulocyte parameters obtained with a complete blood count. Specifically, a higher reticulocyte count in conjunction with higher medium reticulocyte fluorescence have the highest sensitivity and specificity (81% and 88% respectively) for predicting a looming crisis.Most SCD patients manifest symptoms and complications of the disease from childhood. With this in mind, this issue includes a large study from French Guiana describing the incidence and type of complications of pediatric patients over time, and determining the incidence of complications such as acute chest syndrome and ischemic stroke . This study indicates that a proportion of SCD patients continued to experience symptoms requiring additional intense chronic transfusion support with no reduction in acute SCD-related complications despite receiving hydroxycarbamide. Furthermore, this study exemplifies one of the known complications of transfusion therapy in SCD and that is alloimmunization, which occurred in 8.5% of patients despite matching for Rh and Kell antigens. The authors argue that differences between red blood cell donors and patients explain the high alloimmunization rates seen in SCD patients . The risk of iron overload, a major complication of chronic transfusions in SCD is being mitigated by performing exchanges instead of regular red cell transfusion. But despite good patient compliance, chronic red cell exchanges did not extend the life expectancy of patients with marked iron overload . Moreover, an article in this Research Topic will review the role that systemic hypertension plays in SCD patients in Cameroon by outlining a deep analysis of blood pressure variables that affect renal function over time .Among the known complications of SCD, avascular necrosis of the hip and shoulder are often requiring surgical interventions in this patient population, as symptomatology of the affected joint(s) worsen and crises accumulate. In this Research Topic the use of intense hyperbaric oxygen therapy will be introduced and discussed for SCD patients with avascular necrosis of hip and/or shoulder, that can lead to resolution of the necrosis . Matched-related and haploidentical hematopoitic stem cell transplant (HSCT) with modified conditioning regimens will be compared to and contrasted to new gene therapies entering clinical trials in the same review. Understanding that adverse events to biologicals can also occur, an article proposes how to triage patients presenting with reactions to crizanlizumab while still being beneficial to the patient's treatment outcome [Alshurafa and Yassin (a)]. One of the studies in this Research Topic reviews L-glutamine's role in reducing oxidative stress in SCD over an extended follow-up period and confirms the medication's safety while it reduces hospitalizations, need for transfusions and organ damage. Similarly, this issue also describes the high effectiveness of voxelotor in SCD patients with significant kidney disease [Alshurafa and Yassin (b)].Lastly, the current issue includes a comprehensive review of most SCD disease-modifying therapies including hydroxyurea, L-glutamine, voxelotor, and crizanlizumab known to reduce pain crises . Despite the potential for allogeneic HSC transplantation, use of new gene-editing tools such as Clustered Regularly Interspaced Short Palindromic Repeats (CRISPR) and gene transfer technologies to correct the genetic cause of the disease are gaining momentum. CRISPR-associated protein currently represents an opportunity to treat or even cure patients with SCD by targeting either B-cell lymphoma/leukemia 11A gene (BCL11A) and the promoter regions of gamma globin genes (HBG1/2), both of which have been identified to significantly increase HbF protein expression. This issue presents a meta-analysis of the most recent work showing that of these two genes, HBG1/2 has the greater effect on HbF induction . This Research Topic also contains a novel study using the Townes SCD mouse model that shows the extent by which the microRNA29B can induce HbF production in vivo . This report demonstrates that this induction occurs by silencing the MYB gene product. Along these lines another article in this issue outlines challenges facing scientists trying to find new HbF-inducing agents and will discuss recently completed or ongoing clinical trials testing some of these agents . Additionally, a review in this issue will describe the effects of homology-directed repair of the HBB gene, and disruption of cisregulatory elements of BCL11A or leukemia/lymphoma related factor binding sites in the \u03b3-globin gene promoters that result in enhancement of HbF expression . Finally, an article in this Research Topic will describe how inhibition of BACH1 transcription factor using a novel small molecular inhibitor can increase the concentration of HbF and even enhance the effectiveness of hydroxyurea in the setting of drug resistance using in vitro and in vivo models .As mentioned above, allogeneic HSCT is a potentially curative, therapy is limited since finding suitable HLA compatible donors is the first challenge that needs to be overcome. This type of transplantation and graft manipulation including T cell depletion, presents with high infection risks secondary to transplantation conditioning regimens, as well as risks of graft vs. host disease (In conclusion, approaches to treat and cure SCD are rapidly developing. This is a period of great excitement and hope. Contributors to this Research Topic and the editors of this special topic encourage readers to appreciate this collection as an attempt to provide up to date information while introducing a variety of research areas in the field. Clinical advances including current clinical trials will be covered with focus on all recent developments in the field.All authors listed have made a substantial, direct, and intellectual contribution to the work and approved it for publication."}
+{"text": "Nature,1 Hsueh et al. developed a non-invasive optogenetic approach to control heart rate in freely moving mice. Optically induced tachycardia elicited an anxiety-like state in risky contexts, with the posterior insular cortex mediating the apprehensive behaviours arising from cardiac pacing the delivery of exogenous opsins by safe and sustainable AAV gene transfer strategies (2); phototoxicity and dysfunctional cellular reactions, especially during long-term stimulations; and (3) the development of implantable light devices that can adapt to cardiac movement while maintaining sufficient energy supply. Importantly, differences in organ dimension will require innovation of powerful, yet safe light emitters to achieve homogeneous and sufficient stimulation of cardiac tissue in humans. While gene and light delivery to the human heart comprise different constraints as compared to the eye, a promising clinical case of partial vision restoration after AAV-mediated optogenetic therapy was reported in 2021.A second implication derived from the work of Hsueh et al. is the possibility to modulate affective states by controlling bodily signals. Could heart rate be tuned in a specific manner to attenuate the pathological impact of psychiatric disorders such as anxiety or depression? By optogenetically stimulating cardiomyocytes Hsueh and colleagues could impose strong tachycardia, which caused enhanced anxiety-like behaviour. The opposite effect would be desirable to potentially treat emotional disorders associated with high sympathetic tone via downregulation of heart function and resulting interoception. In the long run, this could be achieved via specific optogenetic cardio-inhibitory approaches but in order to do so, we need a better understanding of how the heart conveys signals to the brain, and vice versa. Induction of tachycardia via stimulation of myocardial syncytium is a rather coarse manipulation of cardiac function and more specific stimulation approaches are required to fine-tune cardiac dynamics without interfering with the physiological beating function of the heart. This will open up new possibilities to explore the role of the heart-brain axis in psychiatric disorders. Hsueh et al. have achieved an important milestone for peripheral optogenetics in basic research, but have also paved the way for future clinical approaches targeting the peripheral nervous system for treatment of systems disorders."}
+{"text": "There exists a body of research regarding ethnic differences in perinatal health whereas this is not the case concerning the role of migration status and acculturation in attenuating these differences. This study aims to investigate determinants of health during pregnancy up to one-year postpartum by migration status.The study utilises data collected by the Born in Bradford cohort. The focus of analysis was migration status groupings, based on self-reported country of birth of participants and their parents and grandparents. Chi-Square, one-way ANOVA and correlation coefficients examined relationships between variables.Migrant women were less likely to smoke or to be obese compared to native women. Migrants were less physically active at 6 months (Mean (SD) minutes/week: native 265 (245), 1st generation 113 (162), 2nd generation 147 (182)) with larger increases in BMI over time compared to native women. Migrant women were more likely to be suffering psychological distress at baseline and 6 months postpartum and migrant families were more likely to live in areas of high socio-economic deprivation, despite higher levels of educational attainment.This study ethnicity and migration identifies some important differences between ethnic groups with different migration histories, therefore indicating that healthcare professionals should consider eliciting full migration histories to improve care. The impact of these differences on perinatal outcomes is a priority for future research. What is Already Known on this Subject? There is substantial ethnic variation in health inequalities and health-related behaviours during pregnancy. Women of non-white ethnic origin are less likely to engage in harmful behaviours such as smoking or binge drinking in the UK, yet often have poorer pregnancy outcomes.What does this Study Add? This study adds the dimension of migration status to the investigation of ethnicity and perinatal health. The study considers differences between first-and-second-generation migrant women and native women with no family migration history. The results show that, among women of South Asian ethnicity, women\u2019s own country of birth and that of their parents makes a difference to patterns of health-related behaviours. This new information is important in directing health promotion activities effectively. There is evidence to suggest that migrants of South Asian origin living in Europe are at increased risk of acquiring non-communicable diseases such as diabetes compared to populations in their country of origin. In pregnant populations, Jenum et al. reportedIn the maternity population, a study of lifestyle related risk factors in the Born in Bradford cohort has established significant differences between ethnic groups is a prospective cohort study recruiting participants during pregnancy in the Northern English city of Bradford. Women were invited to participate in the Born in Bradford study when attending an oral glucose tolerance test at 26\u201328 weeks\u2019 gestation or when attending other antenatal appointments. Informed consent was obtained, and women were asked to complete a baseline questionnaire providing data on maternal characteristics. Women also provided venous blood and urine samples and umbilical cord blood samples at birth. Recruitment took place between March 2007 and December 2010, and over 80% of women eligible in this period agreed to take part, which represents approximately 64% of the births occurring in Bradford during this period due to small numbers, precluding further stratified analysis. Women in the native group were those who reported that they themselves, their parents and their grandparents were all born in the UK, regardless of self-reported ethnicity. While women\u2019s ethnicity did not have a bearing on group allocation, the analysis explores the impact of ethnicity as an independent variable.The current study focuses on exploring differences between groups based on migration status in individual variables that impact on maternal and infant health and wellbeing. The study utilises the most relevant variables from each of the three questionnaire data sets, with changes over time examined where adequate comparable data were available. For first-generation migrants this includes length of stay in the UK at baseline. The variables included in the study from the baseline questionnaire were Body mass index (BMI); smoking history; smoking during pregnancy; second-hand smoke exposure; use of vitamins and supplements and General Health Questionnaire-28 (GHQ-28) score. Variables included from the BIB 1000 six-month postpartum questionnaire were BMI; current smoking; smoke exposure; fruit and vegetable consumption; GHQ-28 score; breastfeeding initiation and physical activity. Variables included from the BIB 1000 twelve-month postpartum questionnaire were BMI; and Kessler Scale-6 (KS6) score.2). For comparison of BMI categories, international cut off values published by the World Health Organisation were used and one-way ANOVA (for continuous data); categorical variables are presented as percentages and continuous variables as means and standard deviations.For first-generation migrants, the analysis calculated length of stay in the UK from the woman\u2019s self-reported age of arrival in the UK and her age at the time of delivery. Analysis of the impact of length of stay in this group used correlations between length of stay and BMI and GHQ score and reported as a correlation coefficient (R) and its associate P value.The demographic characteristics of the sample vary considerably between groups. Native women have the highest proportion of pregnancies among teenagers while the rate of pregnancies in those aged over 35 is highest among first-generation migrants. First-generation migrants had substantially higher parity, with 19% having parity of three or more compared to 15.5% of second-generation migrants and 7.2% of natives. Both first- and second-generation migrants were much more likely to be married and less likely to be single parent compared to native women.Both the mothers and fathers of children born to migrant women had a higher level of educational attainment compared to natives. Only 9% of native women had never had a paid job at baseline compared to over half of first-generation migrant women who had never done paid work outside of the home. The differences in employment patterns among fathers were less striking. There was a higher rate of unemployment (including students) among native men compared to both migrant groups and higher levels of self-employment among migrants. Despite higher levels of education, migration status appears to be linked to higher levels of deprivation according to index of multiple deprivation (IMD). IMD is the official measure of relative deprivation for small areas in England and combines information from seven domains of deprivation to give a deprivation score . Mean BMI increase was higher among migrant women from baseline to 6 and 12 months postpartum compared to the native women and score difference from baseline to 6 months postpartum . This relationship was not apparent however in the total score at six months postpartum which showed a slight negative correlation, although this wasn\u2019t statistically significant . Figure\u00a0Maternal physical activity data were only collected at 6 months postpartum. There were significant differences between groups in mean total minutes of physical activity per week with native women reporting more than double the number of active minutes compared to first-generation migrants, as shown in Fig.\u00a0The current study aimed to investigate the basic characteristics, lifestyle and health related behaviours of a large, diverse cohort of women during pregnancy and up to a year postpartum with a focus on maternal migration status. The self-reported country of birth of the mother and of her parents and grandparents informed migration status groups. While ethnicity was not the focus of this study the majority of women in both the first-generation migrant and second-generation migrant groups were of South Asian ethnicity with the majority of these women\u2019s heritage being in Pakistan.The exploration of the demographic characteristics of the sample showed substantial differences in age and parity for first-generation migrants compared to native women, suggesting different care needs. Higher levels of maternal education and yet lower rates of employment and higher IMD as an indicator of area deprivation among migrant women is also of interest and warrants further in-depth exploration.The native women were more likely to become mothers during adolescence whereas a higher proportion of migrant women were continuing to have children at older ages. Higher rates of teenage pregnancy in the native communities as opposed to migrant populations is of interest. A higher rate of women being a single parent or living without a partner in native women is also of concern, meriting in depth explorations.Other positive health related behaviours in migrant women included lower rates of smoking and higher rates of breastfeeding. This is particularly of interest as the results suggest a trend towards rates seen in the native population in second- generation migrants. These findings potentially add evidence to the theory of acculturation and adapting the host country behaviours albeit with potential health and social complications. These findings relate to the concept of the \u2018Healthy Migrant Effect\u2019, where migrant populations have better health outcomes relative to native populations. This concept has come under scrutiny, particularly in the UK, as self-reported ethnicity is often assumed as a proxy due to a lack of data relating to migration status and country of origin in health datasets. Mortality rates in the 2011 census show a slight advantage in terms of life expectancy at birth among first-generation migrants. The authors concluded that improving recording of ethnicity, country of origin and migration status in health records is of paramount importance in effectively studying the patterns of health and disease in migrant and ethnic minority populations. The ability in this study to assess migration status in addition to ethnicity is therefore important; however further work is needed to understand how these observations might translate into differences in perinatal outcomes.While overweight and obesity are higher in non-migrant populations, migrant women had higher BMI increases perinatally may suggest some impact of acculturation on eating habits. The correlation between length of stay in the UK and BMI for first-generation migrants in our study appears to support this. While there has been some debate regarding amending BMI classifications based on ethnicity, particularly for Asian populations, this study uses the international classifications outlined by the World Health Organisation. This approach was recommended by a WHO expert consultation published in the Lancet (WHO Expert Consultation, The results also suggested a higher likelihood of psychological distress and mental health problems in migrant groups. Our study also shows that this may worsen as length of stay in the UK increases, assessed by the positive correlation of length of stay with increasing GHQ-28 score and a higher proportion of women scoring over the 75th percentile for the sample in the second-generation migrant group. A review of ethnic minority women\u2019s experiences of perinatal mental health conditions and services in Europe found that women reported significant barriers to recognising and seeking help for mental health problems (Watson et al., There have been criticisms of the concept of acculturation, particularly in its application to health research. (Fox et al., This study presents valuable new information regarding the determinants of perinatal and child health for different migrant groups. There is evidence to suggest that basic characteristics and health related behaviours are more positive in first-generation migrants and that there is some acculturation affect bringing second-generation migrant women closer to native women in terms of health behaviours. This study also presents evidence of higher levels of psychological distress in migrant women which is not reflected in formal diagnoses of mental health conditions. This highlights an area of work which warrants urgent attention. Further work to explore the interplay between health behaviours, maternal ethnicity and migration status and their effect on pregnancy and birth outcomes is critical to establish where targeted interventions might benefit communities."}
+{"text": "In this abstract, we review current approaches to the management of uncomplicated urinary tract infection (UTI) and begin to explore alternative approaches to antibiotic prescribing. We review clinical guidelines on the use of nitrofurantoin internationally to capture the level of variation in evidence-based guidance. We find that the evidence base has been interpreted in very different ways. UK guidelines from NICE and the Scottish Intercollegiate Guidelines Network (SIGN) are unusual in promoting short (3 day) courses of nitrofurantoin. We find little direct evidence to support this, and that this guidance has been extrapolated from studies based on other agents. \u2018Short\u2019 courses of antibiotics aim to provide optimum balance between providing effective treatment whilst reducing selective pressure driving resistance amongst colonizing microbial flora. Three days of nitrofurantoin may indeed be a useful intervention in a large group of patients. Longer courses of nitrofurantoin still demonstrate considerable rates of treatment failure. The concept of a course length in itself is limited. The variation between recommendations internationally reflects both the uncertain foundations upon which evidence-based guidelines are written, and the limits of what can be safely concluded from evidence. We join others in pointing out there may be ways of customizing duration of therapy to the patient\u2019s response in primary care settings. There is a need for a more patient-focused approach to uncomplicated UTI, including better safety-netting and (currently lacking) guidance on best practice in the common clinical scenario of treatment failure."}
+{"text": "Subsequently, both the test and control group students attended another conventional pulpotomy simulation session where the quality of their access outline and pulp chamber deroofing steps were evaluated on plastic teeth. After the control group students also experienced the HVRS, all study participants completed a perception questionnaire on their experience. No significant differences were found between the study and control group students for the quantitative parameters assessed. Although the students regarded HVRS to be a useful adjunct to support their pre-clinical training, an overwhelming majority of the students did not consider HVRS to be a replacement for conventional pre-clinical simulation training.Simulation training for invasive dental procedures is a core component of the pre-clinical dental curriculum. Besides conventional mannequin-based simulators, dental schools are now incorporating haptic virtual reality simulation (HVRS) devices to facilitate the transition of students from the simulated dental learning environment to the clinical settings. This study aimed to assess student performance and perceptions of HVRS training as a pedagogical tool in pre-clinical paediatric dentistry. After practicing the primary molar pulpotomy procedure on plastic teeth, participants were randomized into test and control groups. Test group students performed the same procedure on a HVRS device, namely the SIMtoCARE Dente Undergraduate dental education requires students to demonstrate pre-clinical competence in a variety of irreversible operative procedures prior to their clinical placement. Dental education programs are time- and place-bound which adds pressure on educators to assist students to achieve the requisite fine motor skills before they perform invasive clinical procedures on patients. Traditionally, dental schools have relied on pre-clinical simulation training using plastic teeth mounted on mannequins to optimise students\u2019 practical skills and hand-eye-foot co-ordination. However, practicing dental procedures on virgin plastic teeth does not accurately simulate patient cases encountered in clinical practice and poses some limitations on the translational value of pre-clinical training. Moreover, plastic teeth do not replicate enamel and dentine hardness and it is difficult for students to receive realistic tactile feedback. The risk of injury associated with the use of sharp instruments during these sessions mandates close supervision which further restricts and reduces the number of pre-clinical simulated sessions that can be offered to students. With dental students required to show competency in increasingly complex procedures, conventional standalone mannequin simulators do not offer an ideal solution and technological advances are required to address their limitations .Dental schools around the world are now increasingly incorporating virtual reality simulators into pre-clinical training to facilitate the transition of students from the simulated dental learning environment into clinical settings. The experience of using virtual reality simulators has been reported to be more pleasurable and enjoyable by early year dental students . These tSeveral questions remain concerning the role and place HVRS should be given in pre-clinical dental education courses. Studies indicate that HVRS introduced in the early stages of undergraduate dental education has greater potential of predicting subsequent clinical performance scores compared to mannequin-based typodont models and also facilitates psychomotor skill acquisition ,10. HowePre-clinical training on operative skillsets in simulated dental learning environments is a fundamental educational strategy to ensure dental students demonstrate appropriate clinical procedural skills before they undertake invasive procedures in real patients. Training in simulated settings offers a safe environment to develop and consolidate core skills without the risk of harming patients. Management of paediatric dental patients poses additional challenges due to the anxiety within dental care settings often observed in young patients. Dental students often need additional time to calm children and establish a rapport with them using appropriate behaviour management techniques . Dental There is clearly a need for more studies to evaluate the effectiveness and student perceptions of training with the HVRS compared to the conventional mannequin simulator for pre-clinical operative procedures in paediatric dentistry. Therefore, the aim of the study was to assess whether augmenting the conventional simulation environment (CSE) with HVRS is likely to affect student performance and experiences for performing the primary molar pulpotomy procedure. The research objectives of the study include: (i) to evaluate if augmenting the CSE pre-clinical training with HVRS for a primary molar pulpotomy can improve student performance scores and reduce procedural time in comparison to pre-clinical training only in the CSE; and (ii) gauging student perceptions of HVRS training for the pre-clinical primary molar pulpotomy procedure.The conceptual framework of the study was built on the theory of deliberate practice which emphasizes embedding a self-reflective feedback loop in the development of skills rather than simply performing a task repetitively to achieve mastery . StudentThe study protocol and participant consent forms were approved by the Institutional Review Board of Qatar University (Reference number: QU-IRB 1652-EA/22). Prior to the study, full disclosure of the study and participants rights were given verbally and written informed consent was obtained. Students were clearly informed that participation in the study is optional and would in no way affect their training or assessment.Qatar University College of Dental Medicine.Interventional randomised controlled pilot study.The entire batch of Year 4 undergraduate dental students at the Qatar University College of Dental Medicine consented to participate in the study. The total number of students who participated in the study was 14, the mean age of the students was 22.4 years, and the female/male proportion was 12:2. Prior to the study, the students had received three credit hours of paediatric dentistry training that included attending didactic lectures and completing pre-clinical preventive and restorative exercises in primary teeth. All the participants had previous experience of using the HVRS and the mannequin simulator for pre-clinical restorative and endodontic procedures in permanent teeth.\u00ae was the HVRS device used in the study feedback via a physical handpiece with a virtual tip and a dental mirror handle. These physical instruments are graphically modelled on a display monitor along with the realistic images of the teeth and the jaws. Handpiece speed is controlled by a real foot pedal and the handpiece is connected to a force feedback robotic arm giving haptic tactile sensations of real tooth preparations and aerator sound renderings. This system creates a representative and virtual dental environment allowing users to feel tactile sensations experienced when drilling with the dental bur for procedures such as removal of caries or cavity/crown preparations. The SIMtoCARE Dente\u00ae is equipped with bespoke \u2018Courseware\u2019 software that includes a ranges of manual dexterity exercises and dental operative procedures of varying complexity. For this study, the pulpotomy exercise on a carious primary molar (tooth #85) was chosen from the Courseware package. The SIMtoCARE Dentehe study . SIMtoCAThe conventional simulator used in this study was a mannequin head with rubber cheeks that was fitted with replaceable plastic jaws . This simulator setup uses actual dental instruments including high- and low-speed handpieces and suction devices . For thi\u00ae simulator. All the students then practiced the pulpotomy procedure on the plastic primary molar over a 90-min session under instructor supervision. The students were then randomly assigned to test (HVRS + CSE) and control groups (CSE) using an online research randomizer tool (www.randomizer.org (accessed on 20 October 2022)). Following this, the test group students practiced the access outline and pulp chamber deroofing steps on the SIMtoCARE Dente\u00ae over a single 60-min session. There were no limits placed on the number of attempts the test group students could practice using the pulpotomy procedural steps on the HVRS device during this session. All students participating in the study received a 60-min didactic lecture on pulpotomy in primary teeth. The students also attended two practical demonstrations of how to perform the pulpotomy procedure on a plastic primary tooth mounted on the mannequin simulator and on a virtual carious primary tooth in the SIMtoCARE Dente\u00ae simulator similar to their test group counterparts. The following week, both the test and control group students attended another conventional pulpotomy simulation session and the quality of their access outline and pulp chamber deroofing steps were independently assessed by two examiners who were blinded to the group the students belonged to, based on a defined rubric . Four-poOnce all students completed training in both simulation environments, they were invited to participate in a survey questionnaire recording their experiences and perceptions . Ten Likt-tests were used to compare the mean differences in performance scores between the test and control groups. All statistical tests were two-tailed and a p < 0.05 was set as the cut-off point to control for alpha error. The statistical analyses were performed using SPSS ver.23 .Normal distribution of data was confirmed using the Shapiro\u2013Wilk test and the equality of variances checked with the two-tailed F-test. Independent sample All 14 students in Year 4 participated in the study yielding a 100% response rate. Performance scores for the access outline and pulp chamber deroofing steps did not show any significant differences between the study and control groups. Time taken to complete the procedural steps and number of instructor prompts requested by students also showed no differences between the groups . Figure n = 14) once the control group students completed their HVRS session. The student responses to the questionnaire are presented in \u00ae simulator. A significant majority of the students (79%) also suggested that deroofing the pulp chamber felt different in the two simulation environments. Approximately, 64% of the students agreed or strongly agreed that training on the HVRS device improved their psychomotor skills and confidence in performing the pulpotomy procedure. Nevertheless, an overwhelming majority of students (86%) disagreed or strongly disagreed with the statement that HVRS training can replace conventional pre-clinical training on typodont teeth for the pulpotomy procedure, with most suggesting that HVRS may be used as an adjunct to the conventional simulation training. Just over half the students (57.1%) expressed interest for more HVRS sessions for paediatric pre-clinical pulp therapy procedures.A questionnaire to assesStudent responses to the open-ended questions suggested that the main benefits of training on the HVRS device was that it allowed more repetitions for practice and provided better visualization of pulp chamber and root orifices. Among the HVRS limitations was the lack of finger rests and the lag in navigating through the displayed images while performing the procedure. Most of the students also preferred to experience the HVRS training after the conventional simulation training. Student recommendations for improving pre-clinical training for the primary molar pulpotomy procedure included providing them an opportunity to practice the procedure on extracted primary teeth and scheduling extra pre-clinical sessions.Procedure-based dental specialties like paediatric dentistry require students to demonstrate high levels of psychomotor skills before they start treating patients in clinics. Consequently, acquisition of psychomotor skills is fundamental to developing competency in operative procedures during pre-clinical training for undergraduate dental students. While mannequin-based simulation training using typodont teeth has conventionally been the standard pedagogical tool used in the pre-clinical teaching curriculum, dental schools have also been investing in virtual reality simulators to further enhance fine motor skills of their students. However, the impact of these digital methods of pre-clinical training on students\u2019 learning experiences in paediatric dentistry needs further investigation. Previous studies from around the world have reported low confidence among undergraduate dental students in performing pulp treatment in children and reiterated the need to improve pre-clinical training ,25,26,27A plausible reason why no performance score differences were found in this study could be attributed to the fact that study participants had previously experienced both the simulation environments for other pre-clinical tasks in the earlier years of their training. Additionally, the plastic teeth used in this study were customized for the pulpotomy procedure with wax inserts in the pulp chamber, allowing students to \u2018feel\u2019 the pulp in both the simulation environments. In this study, study group students were exposed to approximately 60 min of haptic pulpotomy exercises prior to the combined performance evaluation with the control group students on plastic teeth. Whether a longer time for practice on the HVRS device could have significantly improved student performance scores needs further investigation. Qualitative data on student perceptions about pre-clinical HVRS training for the primary molar pulpotomy procedure was also collected in this study. The vast majority of the study participants did not consider HVRS training to be an adequate replacement for conventional simulation training and instead preferred the HVRS be used as an adjunct along with conventional mannequin simulators. This is in agreement with the findings reported by Zafar et al. in a similar pre-clinical paediatric dentistry training study of Australian dental students . DespiteThe willingness of a large proportion of the students to engage in more HVRS sessions for pre-clinical paediatric dental procedures is of interest. This apparent incongruity could be explained by the fact that the HVRS allows students\u2019 multiple practice attempts with less time pressures as indicated in the student responses to the open-ended questions of the survey. Furthermore, HVRS training allows the students to receive multi-source feedback, that includes not just instructor- and computer-generated feedback, but also the opportunity and time for self-reflective feedback.Recreating a clinical experience in a simulated environment is challenging and complex, but it remains the core component of the pre-clinical dental curriculum. This makes it important to explore the benefits of different simulation training environments from the students\u2019 perspective and their relevance to actual clinical practice of different dental procedures. To the best of our knowledge, this is the first study to assess both students\u2019 performance scores and perceptions for a pre-clinical pediatric dental procedure in two simulation environments. The randomisation of students and blinding of assessors in this study improve and reduce selection and detection/performance bias, respectively. Despite recruiting 100% of students attending the paediatric dental pre-clinical training, the low number of participants in this pilot study coupled with the use of a single operative procedure might have affected the results of this study. Another limitation of the study was that the unidimensional Likert scales used to assess student perceptions may not have fully captured the entire gamut of student perceptions. This was partly overcome by including four open-ended questions in the questionnaire to obtain a wider range of student opinions. While the study results should not be over generalized, the study does provide preliminary data for dental faculty considering the use of HVRS as a pedagogical tool for pre-clinical paediatric dentistry training. A multi-center assessment of the effect of HVRS as an adjunct to CSE on a larger cohort of students with different operative procedures such as conventional stainless steel crown preparation and restorative techniques such Class II cavity preparation on primary molars could help further investigate the true benefits of augmenting the conventional simulation with HVRS.Despite the current generation of students being more comfortable with digital technologies, the initial findings of this pilot study suggest that HVRS should augment rather than replace conventional pre-clinical paediatric dentistry training. Similar evidence has been reported for other pre-clinical procedures, suggesting that students see HVRS as providing a more diverse learning environment, serving as a bridge between the conventional pre-clinical training and the clinics. Well-designed and adequately powered long-term prospective studies exploring matters of student performance, learning outcomes, and cost-effectiveness are warranted."}
+{"text": "In this paper, we investigate the electromagnetic response of metasurfaces due to excitation of the toroidal moment. A toroidal curved metasurface analyzad using a novel theoretical solution based on the Fourier analysis to evaluate the localized fields. Analyzing localized near-field interactions are crucial in investigating the excited trapped modes and enables us to optimize the reflection properties of the proposed metasurface. Optimization is accomplished using graphene layer and resulted a hybrid dielectric-graphene structure with near-zero reflection properties. According to a recent study3, Greta Otto\u2019s wings have asymmetrically dispersed nanostructures in the transparent areas Fig. 4. This observation motivates us to investigate analytical approaches of non-periodic nano-structures.A zero-reflection structure is required to achieve transparency. This characteristic is present in the wings of the remarkable species of butterfly known as Greta oto Fig. 5. A toroidal dipole is the third member of localized electromagnetic excitations which is created by a current circulating on the surface of a torus and has been observed in solid-state physics6. The toroidal response of metasurfaces was experimentally observed in microwave regime7 and then theoretically scaled to the THz regime8. The performances of these metasurfaces are usually limited by radiative and nonradiative losses where nonradiative losses can by reduced by employing materials of low loss such as dielectric10 likewise the solution employed in nontoroidal metasurfaces11.The electromagnetic response of metasurfaces can be related to traditional electric and magnetic dipoles or their complex combinations known as multipoles12. Trapped modes that excited in such asymmetrical structures are included in the the concept of bound states in the continuum (BIC)13. A strong link between the toroidal dipole resonance and the BIC was defined in the context of all-dielectric metasurfaces14. To construct a trapped mode supporting metasurface, we utilize a set of identical subwavelength unit cells with two asymmetric high-refractive index Silicon particles made in the form of modified nanodisks.Radiative losses can be regulated by designing the asymmetric all-dielectric unit cells to excite a high-quality factor resonant response known as Fano resonance in which the radiative damping can be efficiently suppressed by trapped mode and leads to the reduction of radiative lossesTrapped modes lead to a strong near-field enhancement where the located electromagnetic fields becomes notable. We utilize a novel theoretical approach to analytically evaluate localized electromagnetic fields near the all-dielectric unit cells of trapped mode supporting metasurface.16. To accomplish a comprehensive solution, we consider a cylindrical surface where any arbitrary surface can be fitted on a cylindrical surface with a defined cross-section.This evaluation provides the capability of manipulating the reflection coefficient for the surface. Our investigations should support every possible surface shape in the practical applications of such metasurfaces as sensingSince all-dielectric curved metasurfaces are composed of multi subwavelength cells, their optical properties are related to resonant features of each constitutive unit cell resonator and its mutual interaction with the other cells, trapped mode excitation does not merely satisfy the high-Q and zero-reflection properties which necessitates computing the localized electromagnetic fields to optimize such curved multi-cell metasurfaces.The sampled curved metasurface was selected as entclass1pt{minimaGraphene is selected to optimize the obtained reflectivity from evaluated electromagnetic fields. Optimization can be implemented by varying the graphene chemical potential when the graphene layer is integrated with the proposed dielectric structure.6. c indicates the speed of light in free space. Equation do not merely provide the high quality properties for proposed curved structure and accentuates our introduced novel approach for determining localized electromagnetic fields. Consequently, any practical surface with random and arbitrary curve can be optimized by utilizing the near-field responses. To figure out the functionality of the procedure, a reasonable segment of the designed Silicon metasurface is optimized using graphene ribbons and strip lines which results near-zero reflectivity properties for the structure. To bias graphene sheets empirically, one can apply an external voltage to the sheets using a voltage source or bias tee. Graphene can be indirectly stimulated by applying thin gold electrodes on the side borders of the structure and mounting the graphene layers onto them. By applying stimulation to the metal electrodes, the graphene layers can be activated or manipulated to achieve the desired conductivity or impedance properties. It is important to note that the exact procedure for mounting and stimulating graphene layers may depend on the specific experimental setup and conditions, and may require careful calibration and optimization to achieve the desired results"}
+{"text": "If we can deepen our understanding of the molecular and cellular events taking place during preimplantation embryo development, we will be closer to identifying new potential molecular markers of embryo viability, which may one day be used to increase the success of Oh et al. report deriving lineage specific embryonic cell lines from porcine blastocysts to assess gene expression.Much of what is known about human embryo development at the cell and molecular level was discovered in mouse embryos or other animal models. Therefore, understanding the similarities and differences between human embryo development and other animal models is essential in clarifying the molecular steps taking place during human embryo development from the trophectoderm , as these mutations may predict poor IVF outcomes. If specific poor-IVF-outcome-gene-mutations can be identified, then a future step could be finding ways to alter/fix these mutations in the preimplantation embryo. Yaghoobi et al. propose a strategy to take the molecular knowledge we have regarding embryo implantation to alter gene expression in the trophoblast layer of the developing blastocyst via CRISPR/dCas9 exosome system.Having a more thorough understanding of the changes taking place in this stage of development may allow for better use and interpretation of biomarkers of embryo viability, therefore increasing IVF success rates."}
+{"text": "The authors read the article with great enthusiasm: \u201cChanges in the neutrophil-to-lymphocyte and platelet-to-lymphocyte ratios before and after percutaneous coronary intervention and their impact on the prognosis of patients with acute coronary syndrome\u201d, which aimed to evaluate Neutrophil/Lymphocyte (NLR) and Platelet/Lymphocyte (PLR) ratios before and after percutaneous coronary intervention (PCI) to estimate major adverse cardiac events (MACE).,It is known that NLR has been a special marker of interest due to its role in the prognosis after Acute Coronary Syndrome (ACS), Systemic Arterial Hypertension (SAH), Chronic Kidney Disease (CKD), Diabetes Mellitus (DM), Heart Failure (HF), cerebrovascular disease and arterial disease. The plausible pathophysiological mechanism for this relationship is the role of neutrophils in mediating the inflammatory response to acute myocardial injury, causing further tissue damage.The present study demonstrated an increase in the proportion of neutrophils and NLR in patients with acute coronary syndrome (ACS) after PCI, accompanied by a reduction in the count and proportion of lymphocytes, as well as presenting a greater predictive value for the incidence of the main MACE compared to the PLR after 24\u00a0h.,,On the other hand, recent studies indicate that PLR can be a useful biomarker in the evaluation of patients with ACS, since a higher PLR ratio seems to be associated with worse cardiovascular outcomes and greater disease severity, as well as being associated with a greater extent of the coronary lesion in patients with ACS.The authors declare no conflicts of interest."}
+{"text": "Restricted visitations of family members of persons with mental illness in psychiatric hospitals which may occur during times of public health crises such as the COVID-19 pandemic can have potential adverse consequences on the family members and on their ability to fulfill the caregiving role. Therefore, mental health professionals may encounter difficulties implementing a family centered-care model during such periods.Due to the limited knowledge about the effects of the restrictions during the pandemic a study was conducted in Israel. It examined the difficulties which family members experienced as a result of the restricted visitations and the effects of the restrictions on advancing a family-centered care model,A semi-structured questionnaire was distributed via digital means to 75 family members who had a family member who was hospitalized in psychiatric hospitals during the pandemic.The findings indicate that family members had limited opportunities in the following areas during the COVID-19 area: Developing relationships with the professional staff, being involved in the therapeutic process during the hospitalization, communicating with the hospitalized family member, and receiving help for themselves.Mental health professionals in psychiatric hospitals should adapt family-centric procedures to circumvent restrictions on physical presence and maintain the involvement of family members during psychiatric hospitalization.None Declared"}
+{"text": "Teaching Point: Leakage of fluid or intra-articular contrast from the subacromial bursa through the acromioclavicular joint, also known as the \u2018geyser sign\u2019, is an uncommon presentation of chronic rotator cuff injury and acromioclavicular joint degeneration. A 62-year-old man known with chronic rotator cuff pathology underwent a magnetic resonance (MR) arthrogram to assess the condition of the rotator cuff. The examination showed a full-thickness tear in the anterior segment of the supraspinatus tendon with leakage of intra-articular contrast to the subacromial bursa as well as chronic degeneration of the acromioclavicular joint . The conRotator cuff injury and acromioclavicular joint degeneration are common pathologies encountered in daily practice. The prevalence increases with age. The geyser sign is an uncommon presentation of chronic rotator cuff and acromioclavicular. It was first described in 1984 by Craig and can be observed on ultrasound (as a type 2 acromioclavicular cyst), arthrography and magnetic resonance imaging (MRI). Due to chronic degeneration of the rotator cuff and the acromioclavicular joint, the inferior capsule of the acromioclavicular joint can disrupt and allow extension of fluid from the bursa subacromialis-subdeltoidea to \u2018erupt\u2019 above the acromioclavicular joint ["}
+{"text": "Editorial on the Research TopicAdvances in non-union diagnostics, therapy and the understanding of its pathogenesis: current concepts from bench to bedsideDespite years of dedicated research and advances across a variety of associated medical fields failed fracture healing resulting in non-union remains a frequent and persistently challenging clinical problem . TreatmeTang et al.). Interestingly, despite its pro-inflammatory function on immune cells, recent studies showed that IFN-y signaling serves an anabolic function when focusing on osseous biology . In particular, IFN-y signalling leads to a osteoblastic activation via Runx2 and further upregulation of osteogenic factors . On the other hand, IFN-y inhibits osteoclastogenesis by down regulating c-Fms in monocyte-derived osteoclast precursors to reduce RANK and the subsequent RANK-induced osteoclast differentiation . When focusing on the direct effects of IFN-y on bone biology, studies showed that presence of IFN-y seems to be vital to maintain normal bone mass. However, in-vivo a dichotomous function for substituted IFN-y suggested an highly individual patient dependent manner of IFN-y effects, which is further corroborated by studies showing that IFN-y gamma treatment is effective in preventing bone loss during rheumatoid arthritis as well as during estrogen deficiency . Taken together this review highlights the importance of INF-y signaling on bone biology and how its understanding has direct implications to preserve bone mass and how to potentially counteract changes during pathological conditions. Emerging technologies allowed researcher to take the findings made on a broader cellular or systemic level one step further towards a single cell level. A recent single cell RNA sequencing study confirmed the importance of osteoimmunology by revealing a comprehensive intercellular interaction landscape between local immune cells and osteoblastic lineage cells (OBCs) . Amongst others, the authors found that crosstalk between immune cells and OBCs resulted in a ligand receptor reaction of Jagged1 and Notch2 leading to an enhanced BMP-2 induced osteoblastic differentiation. Hereby, the authors highlighted that despite lessons learned on a systemic or macro level single cell studies are important to further understand crosstalk between immune and osseous cells . When focusing on musculoskeletal trauma a corroborating study indicated a potentially crucial role for a dysregulated systemic immune response resulting in poor outcomes following trauma . In particular, myeloid-derived suppressor cells (MSDCs) were identified as a potential target in restoring systemic immune homeostasis. Furthermore, targeted depletion of those cells resulted in a normalization of bone healing further supporting the importance of osteoimmunology in the context if bone healing.Although the inflammatory response marks the beginning of the fracture healing cascade an unresMulica et al.). However, previously no diagnostic modality existed that allowed immediate and reliable evaluation of the patency of the vascular pedicle. In the current research topic Mulica et al., presented compelling data regarding the benefits of using an indocyanine green fluorescence (ICG) angiography intraoperatively. The authors were able to reliably detect patency of the vascular pedicles in all patients and furthermore document sufficient perfusion of the bone graft itself and in some cases even of the cancellous bone . Clinically despite the complex nature of the included cases no additional treatment was to achieve bony union, and the authors concluded that ICG angiography is a promising diagnostic tool in treating complicated cases of recalcitrant scaphoid non-unions.Although a variety of materials exist that are suitable for bone grafting as part of non-union treatment, the most challenging graft requiring not only substantial expertise of the surgeon but also a highly advanced infrastructure remains vascularized bone grafts having a vascular pedicle . In scapFailed fracture healing remains a severe and debilitating complication of an already traumatic event in the life of affected patients. Although the underlying pathophysiological mechanisms remain complex ongoing research efforts provide data contributing towards a better understanding of the contributing factors both on a locally or systemically level. The current research topic highlights the importance of the immune system during bone healing and while studies over the years indicated that the immune system is neither friend no foe when it comes to bone healing moderation and modulation of immunological factors involved might help to make the immune system at least our lasting ally. Finally, while surgical techniques are improving intraoperative decision making is based on the experience of the surgeon but also on objective diagnostical tools that are readily available. The current topic introduces such a diagnostic modality and by publishing these results we hope to encourage surgeons to evaluate and potentially incorporate these diagnostical tools into their surgical and clinical routine."}
+{"text": "The primary cilium is an antenna-like structure of the plasma membrane. Primary cilia contain receptors and channels that detect extracellular signals and transduce them into the cells to regulate physiological functions such as cell proliferation, differentiation, and migration. The formation of primary cilia is dynamically regulated depending on the context. Dysregulation in the signaling and formation of primary cilia can lead to various diseases. The physiological and pathophysiological mechanisms underlying the regulation of primary cilia have been extensively investigated. These studies have revealed many aspects of primary cilia which can be considered as therapeutic targets. The scope of this Research Topic is to integrate the current knowledge and opinions of primary cilia in relation to their potential as therapeutic targets.Toriyama et al. analyzed the primary cilia of human dendritic cells (DCs) and Langerhans cells (LCs). They revealed that primary cilia mediated the signaling of granulocyte-macrophage colony-stimulating factor, a Th2 cytokine, to stimulate the proliferation of DCs and that the formation of primary cilia is halted in mature DCs. They also found that the primary cilia of LCs and keratinocytes from patients with atopic dermatitis were aberrantly ciliated in immature and proliferating states. They proposed a vicious cycle in atopic dermatitis in which ciliated immature DCs strongly recognized antigens and secreted GM-CSF to stimulate the proliferation in autocrine and paracrine fashions. This situation might be the same as some groups of medulloblastoma where primary cilia aberrantly mediate oncogenic signaling in a canine model. MAP9 is thought to stabilize the ciliary microtubule-axoneme of photoreceptors and to regulate motor-protein-mediated ciliary trafficking (Takahashi et al. studied the homozygous 22\u00a0kb deletion in canine MAP9 which causes only a slight amino acid difference from wild-type MAP9 due to a duplication. They demonstrated that mutant MAP9 exacerbated the photoreceptor degeneration in RPGRIP1 mutants both functionally and structurally. They identified that MAP9 is prominently localized in the basal body of primary cilia suggesting an important role in maintaining the structure of ciliary microtubule axoneme. Their findings highlighted the role of MAP9 as a modifier and that the RPGRIP1 complex may be a therapeutic target in the cilia-related retinal degeneration.fficking . TakahasDeMars et al. provide a comprehensive review of neuronal primary cilia regulating metabolic homeostasis in these inter-neuronal connectivity. These studies may pave the way for novel anti-obesity therapies by correcting the abnormal signaling related to primary cilia.Obesity is caused by various factors, including adipogenesis in response to high-fat diet and the dysregulation of metabolic homeostasis. Primary cilia are involved in both the peripheral adipogenesis and the central control of metabolism associated with obesity . For exaKimura et al.elegantly review the association between cholesterol and ciliary signaling such as Sonic hedgehog and Wingless/INT pathways, suggesting that enzymes involved in cholesterol synthesis such as hydroxymethylglutaryl-CoA reductase and hydroxysteroid 11-\u03b2 dehydrogenase 2 can be therapeutic targets against cancer. Hart provides an interesting hypothesis that increased dietary polyunsaturated fat may suppress ciliogenesis which could be the cause of preeclampsia, a complication of pregnancy characterized by hypertension, protein urea, and other signs of organ damage. Cholesterol and lipid rafts have been considered important therapeutic targets in various diseases (The relationship between primary cilia and the signaling modulated by cholesterol and lipid rafts has attracted increasing attention in areas of research, especially those focusing on cancer . Kimura diseases . ExaminiSaito et al. summarize recent advances in the understanding of cilia mechanisms and their applications as therapeutic targets, especially focusing on ciliary receptors, ciliogenesis, intracellular trafficking pathway to primary cilia, and animal models and clinical trials in inherited retinal diseases. These studies suggest that dysregulation of primary cilia associated with diseases may be treated by genetic and/or pharmacological therapies targeting genes and their protein products as well as signal transductions related to the primary cilia. We may change the functions of primary cilia in a specific cell type to modulate other cellular components dysregulated in diseases."}
+{"text": "The social defeat hypothesis (SDH) suggests that a chronic experience of social defeat increases the likelihood of the development of psychosis. The SDH indicates that a negative experience of exclusion leads to an increase in the baseline activity of the mesolimbic dopamine system (MDS), which in turn leads to the onset of psychosis. Social defeat models have previously been produced using animal models and preclinical literature; however, these theories have not fully been tested in human clinical samples. There have been studies implying changes in brain structure due to social defeat interactions; however, research evidence is varied.This study aims to uncover whether exposure to SoDe has an impact on brain structure. Furthermore, we hope to understand if these changes are relevant to other mental health disorders.698 participants between the ages of 15-41 were recruited from the PRONIA-FP7 study. SoDe was measured from the self-reported questionnaires\u2019 Bullying Scale\u2019 and \u2018The Everyday Discrimination Scale\u2019. T1-weighted structural MRI data were processed; five 2 sample t-test analyses were carried out to compare the GMV differences in the entire sample and between the four groups.The VBM analysis showed significant group interactions in the right thalamus proper when comparing participants who had experience SoDe to participants who had not experienced SoDe including all 4 groups along with left cerebral white matter differences. In the ROP subgroup, significant group interactions in the left cerebellum white matter were found along with right cerebral white matter, left cerebral white matter and right Thalamus proper.The findings suggest that there are significant group interactions in thalamus and cerebral white matter. This is in keeping with some previous research suggesting volumetric changes in the thalamus due to stress and psychosis. Similarly for white matter there is some evidence suggesting differences due to SoDe and psychosis. However, there is a scarcity of research in this area with different research suggesting distinctive findings and therefore the evidence is inconclusive. In the ROP group analysis significant group interactions were present in the cerebellum due to SoDe experience. There is research suggesting the cerebellum\u2019s role in multiple different aspects like social interaction, higher-order cognition, working memory, cognitive flexibility, and psychotic symptoms, with every research suggesting multiple different things the role of the cerebellum in SoDe in the ROP population is in question. Nonetheless this large-scale research presents some interesting novel finding and leads the way to a new area of research. Further analysis will explore the relationship between groups on markers of stress (CRP) and neuroinflammation as potential mediation of the environmental effects of SoDe.None Declared"}
+{"text": "Staphylococcus aureus (MRSA), but Vancomycin resistance (VRSA) as well. They then demonstrated successful decolonization and long-term maintenance of animals free of these critical organisms, improving the health/welfare of the animals and staff safety .Preclinical macaque models of viral diseases are among the most translatable animal models to human patients \u20133. TheseDross et\u00a0al.). They demonstrated the safety of this approach and, whereas they were unable to demonstrate significant efficacy, the results mirrored those seen in the clinic demonstrating that the macaque model offers a highly translatable method to evaluate the immunology, safety and virological outcomes for CAR T cell therapies prior to use in patients. The second article evaluated the use of a CD20 depleting antibody prior to administration of SIV-specific CD4-MBL-CAR T cells expressing the follicular homing receptor CXCR5, resulting in increased follicular homing of the CAR T cells . Sampling of key lymphoid sites demonstrated reduced efficacy of the CD20 depletion in lymph nodes compared to blood as well as the increased homing of the CAR T cells to this location in CD20 depleted animals. However, despite the increased number of CAR T cells the animals failed to control the SIVmac239 infection upon ART withdrawal and the depleted animals demonstrated Cytokine Release Syndrome (CRS) with elevated levels of IL-6 that required treatment with anti-IL-6 antibodies to prevent mortality; an important safety consideration for potential translation of these therapies to the clinic.Two additional manuscripts also evaluated transplant models related to prevention/elimination of HIV in relevant macaque models. These manuscripts evaluated autologous transplantation of two different Chimeric Antigen Receptor (CAR) T cells aimed at preventing or eliminating SIV or Simian-Human Immunodeficiency Virus (SHIV) in macaque models of acquisition and/or ART suppressed infection. The first article looked at the use of a conserved elements vaccine and with exvivo expansion and autologous transplantation to increase the number of polyfunctional SHIV specific T cells present at the time of SHIV challenge . Looking at the Fc\u03b3III functions, which play a significant role in antibody mediated effector function, they demonstrated important differences between humans and macaques that further our understanding of how to interpret results of macaque studies used to evaluate vaccines and antibody-based therapeutics that involve or depend on Fc-effector functions. The final article looked at a macaque model of Zika virus infection . Pregnant macaques were inoculated during the first trimester of pregnancy and half demonstrated clearance of the virus from the maternal circulation by 7 days post infection (DPI). The other half took longer to eliminate viral RNA from the maternal plasma and had higher levels of vRNA at the maternal-fetal interface at the time of delivery. Outcomes were determined in the first 7 DPI with higher antibody titers associated with worse outcomes indicating that antibodies were not associated with maternal control and could be a potential biomarker for worse outcomes.Another accepted article evaluated similarities and differences in the fragment crystallizable (Fc) mediated functions of antibodies between rhesus macaques and humans (These articles demonstrate the potential macaques represent as powerful translatable infectious disease models permitting interrogation of key questions involving pathogen-host interactions as well as evaluating the efficacy of vaccines, therapeutics and other interventions and how further improvements in the models and the background health of the animals will allow for improved sampling, improved animal care and welfare, improved human health and safety, and elimination of critical sources of variability leading to even more rigorous and reproducible experiments.JS: Writing \u2013 original draft."}
+{"text": "Evidence is growing for the bio-immuno-metabolic model of pathogenesis in anorexia nervosa (AN), an eating disorder with a chronic and relapsing nature. The role of the gut microbiome in this process is also receiving intense research interest. The gut microbiome and the use of probiotics and prebiotics have been extensively studied in gastrointestinal (GI) disorders such as inflammatory bowel disease (IBD) and functional GI disorders (FGIDs). Exploring links between AN and these GI disorders may open new avenues of treatment such as the use of probiotics and prebiotics in AN.This review explores: i) GI presentation in AN and its relationship with the gut microbiome ii) factors influencing the gut microbiome presentation in AN including dietary patterns iii) whether the gut microbiome may be involved in the pathogenesis and maintenance of AN iv) gut microbiome presentation in GI disorders and commonalities with AN v) evidence for the potential use of probiotics and prebiotics as adjunct treatment in AN.GI symptomatology and gut microbiome presentation in AN were examined through literature searches. Gut microbiome changes related to common dietary patterns in AN were explored. Microbiome changes that may influence development or maintenance of AN were considered. Microbiome alterations seen in relevant GI disorders were explored and commonalities considered between these and alterations in the microbiome in AN. Literature searches were performed for the use of probiotics and prebiotics in AN and relevant GI disorders.GI symptoms occur commonly in AN with evidence suggesting some symptoms continuing beyond weight restoration. Significant disruption of the gut microbiome has been associated with AN with some changes related to typical dietary patterns seen during AN development. Additionally, similarities exist between microbiome alterations in AN and those seen in IBD and FGIDs indicating factors apart from the diet, such as a pro-inflammatory milieu, in play. These changes may not only influence GI presentation in AN but may also have a role in maintenance of the disorder. Some evidence suggests that the pre-morbid gut microbiome may influence risk for AN development. Preliminary evidence of the use of probiotics in AN indicates a positive influence on immune modulation although no evidence exists as yet of their influence on AN symptomatology. There has been extensive research into the use of probiotics and prebiotics in IBD and FGIDs with some evidence for reduction in disease parameters and symptomatology with the use of multi-strain probiotics.Some theoretical, mechanistic and clinical evidence exists for the use of probiotics in ameliorating GI symptoms in AN. However, further research is needed into the context of the gut microbiome changes in AN, the specifics of efficacy and the effects that probiotics and prebiotics may have in AN.None Declared"}
+{"text": "Background: The CDC\u2019s new Public Health Strategies to Prevent the Spread of Novel and Targeted Multidrug-Resistant Organisms (MDROs) were informed by mathematical models that assessed the impact of implementing preventive strategies directed at a subset of healthcare facilities characterized as influential or highly connected based on their predicted role in the regional spread of MDROs. We developed an interactive tool to communicate mathematical modeling results and visualize the regional patient transfer network for public health departments and healthcare facilities to assist in planning and implementing prevention strategies. Methods: An interactive RShiny application is currently hosted in the CDC network and is accessible to external partners through the Secure Access Management Services (SAMS). Patient transfer volumes were estimated from the CMS fee-for-service claims data from 2019. The spread of a carbapenem-resistant Enterobacterales (CRE)\u2013like MDROs within a US state was simulated using a deterministic model with susceptible and infectious compartments in the community and healthcare facilities interconnected through patient transfers. Individuals determined to be infectious through admission screening, point-prevalence surveys (PPSs), or notified from interfacility communication were assigned lower transmissibility if enhanced infection prevention and control practices were in place at a facility. Results: The application consists of 4 interactive tabs. Users can visualize the statewide patient-sharing network for any US state and select territories in the first tab . A feature allows users to highlight a facility of interest and display downstream or upstream facilities that received or sent transfers from the facility of interest, respectively. A second tab lists influential facilities to aid in prioritizing screening and prevention activities. A third tab lists all facilities in the state in descending order of their dispersal rate , which can help identify highly connected facilities. In the fourth tab, an interactive graph displays the predicted reduction of MDRO prevalence given a range of intervention scenarios . Conclusions: Our RShiny application, which can be accessed by public health partners, can assist healthcare facilities and public health departments in planning and tailoring MDRO prevention activity bundles.Disclosures: None"}
+{"text": "Cell type-specific differential gene expression analyses based on single-cell transcriptome datasets are sensitive to the presence of cell-free mRNA in the droplets containing single cells. This so-called ambient RNA contamination may differ between samples obtained from patients and healthy controls. Current ambient RNA correction methods were not developed specifically for single-cell differential gene expression (sc-DGE) analyses and might therefore not sufficiently correct for ambient RNA-derived signals. Here, we show that ambient RNA levels are highly sample-specific. We found that without ambient RNA correction, sc-DGE analyses erroneously identify transcripts originating from ambient RNA as cell type-specific disease-associated genes. We therefore developed a computationally lean and intuitive correction method, Fast Correction for Ambient RNA (FastCAR), optimized for sc-DGE analysis of scRNA-Seq datasets generated by droplet-based methods including the 10XGenomics Chromium platform. FastCAR uses the profile of transcripts observed in libraries that likely represent empty droplets to determine the level of ambient RNA in each individual sample, and then corrects for these ambient RNA gene expression values. FastCAR can be applied as part of the data pre-processing and QC in sc-DGE workflows comparing scRNA-Seq data in a health versus disease experimental design. We compared FastCAR with two methods previously developed to remove ambient RNA, SoupX and CellBender. All three methods identified additional genes in sc-DGE analyses that were not identified in the absence of ambient RNA correction. However, we show that FastCAR performs better at correcting gene expression values attributed to ambient RNA, resulting in a lower frequency of false-positive observations. Moreover, the use of FastCAR in a sc-DGE workflow increases the cell-type specificity of sc-DGE analyses across disease conditions.The online version contains supplementary material available at 10.1186/s12864-023-09822-3. Single cell RNA sequencing (scRNA-Seq) is revolutionizing basic and translational biomedical research. The ability to quantify RNA expression in individual cells with high throughput enables quantification of cell type composition of complex tissue samples and characterization of their transcriptional phenotypes, or cell states, in great detail . The useWe previously published a comparison of the cellular landscape in airway wall samples between healthy controls and patients with asthma . While cAmbient RNA is cell-free mRNA that is released during preparation of single-cell suspensions for scRNA-Seq analysis and is one of the features that limits sc-DGE analyses, next to sparsity of data and the presence of doublets , 6. Sc-DThe composition of ambient RNA depends on the cell type composition and processing of the tissue, and is therefore highly sample-specific. When comparing gene expression profiles across cell types within a single sample, transcripts of ambient RNA will be shared and will not be identified as differentially expressed genes. In contrast, when comparing gene expression profiles in a cell-type specific fashion between different samples belonging to an experimental or disease condition, the ambient RNA composition might be different across the contrast used in the DGE analysis. In such a case, transcripts identified as differentially expressed genes may be derived from either cellular RNA or from contaminating ambient RNA, leading to false-positive results in the latter case. Therefore, a new, stringent method for ambient RNA correction that allows sc-DGE studies comparing healthy to diseased tissue samples is urgently needed.Here, we characterized the contamination by ambient RNA in sc-DGE analyses and present a novel method \u2018FastCAR\u2019 (Fast Correction for Ambient RNA) to quickly identify and correct for ambient RNA in droplet-based scRNA-Seq data. We provide a rationale for selection of the genes that should be corrected on the basis of the data retained within the gene expression matrix, without the need for prior knowledge on the expected cell-type specific gene expression patterns. Furthermore we compare its performance to the other ambient RNA correction methods SoupX and CellBender-remove-background which were either not thorough enough or computationally prohibitive . The useTo test FastCAR, we used our previously published scRNA-SeAs another disease/control dataset we used PBMCs from seven healthy donors and seven hospital admitted COVID-19 patients platformTo perform the differential expression analyses we used R package EdgeR using thautoest function of the original tutorial starting from the count matrices. The cell selection step was not applied as we used only the libraries that were selected as live, high-quality cells in our previous publication [We applied SoupX using the suggested settings by the lication . For theTo perform the ambient RNA correction using CellBender remove background we used the default recommended settings . The cell selection was not applied as we used only the libraries that were selected as live, high-quality cells in our previous publication .SCGB3A1, expressed in secretory cells [IGKC from B cells [HBB, originating from erythrocytes [In order to develop a method that can be used to correct for ambient RNA in a sc-DGE analysis, we took advantage of a previously reported data set in which we reported the changes in the cellular landscape of the airway wall in patients with asthma compared to healthy controls . After ury cells , 14, IGK B cells , 16 and hrocytes which whThis ambient RNA is sample-specific which leads to samples where the total ambient RNA (summed UMI in libraries with =\u2009<\u2009100 UMI) of a gene is higher to also have relatively higher presence of that gene in non-expressing cells compared to other samples , every library (j) with that number of UMIs or fewer is used to generate the ambient RNA profile. For every gene (g), the fraction of these selected libraries containing any UMIs of that gene (frC) is determined, as well as the highest number of UMIs of that gene occurring in a single library (gMax). If frC exceeds the user provided allowable fraction of ambient affected cells (frAA), the UMI counts for that gene in each cell is reduced by gMax. If this results in negative counts, the number of counts of that gene in the cell is set to 0.FastCAR determines the ambient RNA profile to correct the cell expression for on a gene by gene basis. The user provides a threshold for the number of Unique Molecular Identifiers (UMI) per sequencing library . Secondly, the maximum UMI-per-library threshold at which libraries are considered to only contain ambient RNA(thE).As stated earlier, there are two variables to consider when running FastCAR. Firstly, the minimum allowable fraction of libraries that contains ambient RNA of each gene. will not be identified in the sc-DGE method, and therefore do not need to be corrected for. The default setting for this contamination chance parameter is 0.005; any genes present in less than 5 out of each 1000 ambient RNA libraries are ignored. This limits the total profile of ambient RNA that needs to be corrected for quite significantly.8. We have established a workflow IGKC level in the non-expressing libraries will be mostly corrected for while expression levels of IGKC in the B cells remains high , a computational method that provides an unbiased way to identify and correct for the ambient RNA likely to affect DGE analyses on a per-sample basis that is intuitive and easy-to-use. FastCAR identifies the genes in the ambient RNA and applies a threshold for filtering that can be adapted to the settings of the DGE analyses, effectively removing the ambient RNA from the DE gene results. We show that this method effectively removes ambient RNA, but still retains a large proportion (~\u200992%) of the DE genes observed prior to ambient RNA removal.IGKC and SCGB1A1, we could show that the performance for ambient RNA removal of these genes with FastCAR is superior compared to CellBender and SoupX. Other genes that FastCAR identifies and corrects for are also more thoroughly corrected for meaning that applying the other methods would still result on falsely identifying genes as differentially expressed that result from ambient RNA.When comparing the results of DGE analysis before and after ambient RNA correction using FastCAR to the other methods we tested, there is a striking difference in the number of genes affected by correction procedures. Because FastCAR is made to only adjust for the expression of genes likely to affect DGE analyses, it corrects only a small subset of genes which leaves most results are identical to the uncorrected results. Both SoupX and CellBender adjust for the expression of many genes which results in large differences in the number and identity of the differentially expressed genes before and after ambient RNA correction. While both CellBender and FastCAR apply linear transformation of the data during correction, SoupX also applies a normalization that might interfere with certain downstream analyses. In the absence of a gold standard to compare the results of the DGE analyses and the low sample numbers in the dataset we used for testing, it is not possible now to determine with certainty which of these methods is optimal for the identification of DE genes that reflect the biological truth. However, using well-established cell type-specific genes like DGE analyses between healthy and control or other experimental groups in specific sub-populations of cells is a promising use of single cell data that may have large impact on our understanding of how the in-situ behaviour of cells of the same type differs between groups. Correcting for the presence of ambient RNA will be vital to finding meaningful results in these analyses and FastCAR is an effective method to do so. We developed FastCAR as part of a workflow for sc-DGE analysis, and therefore propose to use FastCAR for this specific application. We did not compare performance of FastCAR or any of the other ambient RNA correction methods for any other downstream applications.FastCAR can be run on a per-sample basis as part of the pre-processing pipeline used for scRNA-seq data and does not require a specific computational infrastructure.FastCAR can also be used to merely report the mRNA profile of the ambient RNA fraction on a per-samples basis, which can then be used to interpret results from the sc-DGE analysis performed without ambient RNA correction.Because of the large variability in cells and processing there is no perfect threshold to use to profile the ambient RNA, or a method to determine with certainty what this threshold should be for a specific sample. This necessitates the use of arbitrary thresholds or user-defined thresholds. The FastCAR R package includes functions that help the user set these thresholds and allows for profiling the ambient RNA without performing the correction to facilitate choosing these thresholds.A reasonable concern is whether removing the highest expression found in the ambient RNA is not too strict. We analysed the cell-type specific gene expression compared to the ambient expression levels and found these to be an order of magnitude higher. Consequently, the cell-type specific expression levels are well retained even for the genes that are highly expressed in the ambient RNA. Moreover, the FastCAR correction does not strongly affect clustering of the cells. This is not unexpected as the ambient RNA is a low and ubiquitous signal that has an equal chance of affecting each cell in a sample.The correction method works under the assumption that cell containing libraries are equally likely to contain ambient RNA and that mRNA from lysed cells is the only meaningful source of transcripts that are not expressed in the measured cell. Other possible sources of such transcripts are barcode switching, where spontaneous errors in the cell barcodes cause transcripts to be assigned to the wrong cell. This may also be partially responsible for some of the signal . FastCARWhile there are datasets of mixed human/murine cells that can be used to benchmark ambient RNA correction methods that strive for precise removal for ambient RNA, these datasets don\u2019t have test/control groups with possible effects on ambient RNA and resulting DEGs. In conclusion, to perform cell type-specific DGE analyses between groups there needs to be some correction to account for the sample-specific ambient RNA. FastCAR is a resource efficient method of thoroughly correcting the expression of genes most likely to be affected by ambient RNA. While other tools are available for general ambient RNA correction, FastCAR is more thorough in its correction than the other tested methods for genes it identifies as likely to affect sc-DGE.Below is the link to the electronic supplementary material.Supplementary Material 1: Tables of all differential gene expression results between conditions with no correction, and the tested ambient RNA correction methods appliedSupplementary Material 2: Supplementary Figure 1: FastCAR correction does not strongly affect clustering. A) Effect of FastCAR on the UMAP and clustering in the same cells from bronchial biopsies. B) Jaccard index of the overlap of the cell contained in the clusters between corrected and non-corrected bronchial biopsies. The same cells cluster together even if the clusters get split differently along a gradient. Supplementary Figure 2: Comparison of applying different ambient RNA correction methods between asthma and control in selected cell types in bronchial biopsies. A) IGKC levels in selected expressing and non-expressing cell types without correction and after applying other correction methods. B) SCGB3A1 levels in selected expressing and non-expressing cell types without correction and after applying other correction methods"}
+{"text": "Reactive ion etching (RIE) is the dominating technology for micromachining semiconductors with a high aspect ratio (HAR). It has long been recognized as a powerful manufacturing tool and has been widely applied across different research fields and industrial sectors. The semiconductor industry is continuously pushing to shrink lateral dimensions and to increase the aspect ratio of features while maintaining a cost advantage. This is driving new challenges in RIE processes to meet the demands of control feature-size variation and fabrication of HAR features in high-volume manufacturing. Recent developments in RIE methods and equipment have enabled considerably deeper etches and higher aspect ratios compared to traditional RIE methods and have revolutionized bulk micromachining technologies. The most widely known of these technologies is called inductively coupled plasma (ICP) deep reactive ion etching (DRIE), and this has become a mainstay for the development and production of silicon-based micro- and nano-machined devices. In the ICP DRIE systems, the plasma is generated with an RF-powered magnetic field, and a separate RF generator directs an electrical field to steer the reactants toward the substrate and obtain a highly anisotropic etch result . ICP hasOn one side, several papers address typical problems of pattern transfer, such as the mask effect on the lateral undercut and etch"}
+{"text": "Traumatic brain injury (TBI) remains a significant medical and socioeconomic challenge of our times. The age-adjusted incidence across all TBI severities from population-based studies 2015\u20132020 ranged between 476/100,000 in South Korea to 787/100,000 in the US with temporal trends and variations still confounded by methodological diversity including inconsistent definitions, variations in data capture and interpretation [The work presented by Gunning and colleagues is highly supportive of this endeavour in suggesting variability in injury severity coding to be one of the main drivers for still existing differences in reported mortality after severe TBI across international trauma centers . The autAnother key perspective of the novel TBI databank is the critical validation of current practice and the adherence to existing guidelines when managing TBI patients on a larger and more comprehensive scale. An electronic survey conducted by Lagares and the BRAINI investigators among 200 physicians from 131 hospitals in four southern European countries confirmed large variations in guideline adherence, in particular when it came to CT imaging after clinical mild TBI . AnotherOne key element of the novel TBI databank TR-DGU is outcome assessment by using the GOSE-E at 6 and 12\u00a0months with potential expansion of observation periods to later time points in the future. The focus in this respect may then clearly be directed toward the impact of rehabilitation for the overall outcome after TBI. Once broadly established and running, it is also anticipated that the novel databank will be open for the inclusion of additional laboratory datapoints and biomarkers. In the present issue, the meta-analysis by Yunlong Pei and colleagues once more confirmed the diagnostic and prognostic value of GFAP, in particular during early TBI .The novel TBI databank TR-DGU, as first presented in this focus issue of the EJTES, will open up future perspectives for TBI research both on the national and international scale. Along with a series of other successful initiatives such as the pan-European CENTER-TBI project including sister projects in India and China, but also the North-American TRACK TBI initiative, it will provide not only qualitative data but also quantitative data sufficient enough to aim for future big data analysis introducing novel and innovative technologies. Large-scale international collaboration is key to overcome the still-existing gaps and hurdles in the care for the severely injured TBI patient. The first step, however, remains local motivation and active participation."}
+{"text": "Gene sets are being increasingly leveraged to make high-level biological inferences from transcriptomic data; however, existing gene set analysis methods rely on overly conservative, heuristic approaches for quantifying the statistical significance of gene set enrichment. We created Nonparametric analytical-Rank-based Enrichment Analysis (NaRnEA) to facilitate accurate and robust gene set analysis with an optimal null model derived using the information theoretic Principle of Maximum Entropy. By measuring the differential activity of ~2500 transcriptional regulatory proteins based on the differential expression of each protein\u2019s transcriptional targets between primary tumors and normal tissue samples in three cohorts from The Cancer Genome Atlas (TCGA), we demonstrate that NaRnEA critically improves in two widely used gene set analysis methods: Gene Set Enrichment Analysis (GSEA) and analytical-Rank-based Enrichment Analysis (aREA). We show that the NaRnEA-inferred differential protein activity is significantly correlated with differential protein abundance inferred from independent, phenotype-matched mass spectrometry data in the Clinical Proteomic Tumor Analysis Consortium (CPTAC), confirming the statistical and biological accuracy of our approach. Additionally, our analysis crucially demonstrates that the sample-shuffling empirical null models leveraged by GSEA and aREA for gene set analysis are overly conservative, a shortcoming that is avoided by the newly developed Maximum Entropy analytical null model employed by NaRnEA. Next-generation sequencing technologies and highly accurate annotations for prokaryotic and eukaryotic genomes have transformed biology into a data-rich scientific discipline . ConsequWhile existing gene set analysis methods employ distinct mathematical approaches for calculating the test statistic associated with a gene set\u2019s enrichment, the field of gene set analysis is uniquely dominated by the question of how to accurately evaluate the statistical significance of gene set enrichment. The origins of this debate are alluded to by Mootha et al. in theirp-value) of the OXPHOS gene set enrichment.Mootha et al. used a two-sample Kolmogorov\u2013Smirnov test to compare the SNR values for genes associated with oxidative phosphorylation (OXPHOS) with the SNR values for all other genes. Rather than calculating the statistical significance of this enrichment score using the existing analytical null model for the two-sample Kolmogorov\u2013Smirnov test, Mootha et al. chose to approximate the null model for their gene set enrichment score using an empirical phenotype-based permutation test procedure. In this procedure, Mootha et al. shuffled the phenotype label of each DM2 sample and NGT sample to produce two new groups: a null test phenotype and a null reference phenotype. Each of these null phenotypes consisted of samples from both the original test phenotype and the original reference phenotype . They recomputed a null SNR for each gene based on its expression in the null test samples and the null reference samples, producing a null differential gene expression signature; the same two-sample Kolmogorov\u2013Smirnov test statistic was then calculated as the null enrichment score for the OXPHOS gene set in this null differential gene expression signature. Mootha et al. repeated this procedure of permuting phenotype labels, calculating a null differential gene expression signature and computing a null enrichment score 1000 times, allowing them to estimate the statistical significance of the [GSEA enrichment score] by using an empirical phenotype-based permutation test procedure that preserves the complex correlation structure of the gene expression data. Specifically, we permute the phenotype labels and recompute the [GSEA enrichment score] of the gene set for the permuted data, which generates a null distribution for the [GSEA enrichment score]. The empirical, nominal P value of the observed [GSEA enrichment score] is then calculated relative to this null distribution. Importantly, the permutation of class labels preserves gene-gene correlations and, thus, provides a more biologically reasonable assessment of significance than would be obtained by permuting genes\u201d.The logic of this empirical phenotype-based permutation null model for GSEA was more clearly described by Subramanian et al. in their\u201cWe show, in agreement with earlier observations, that the gene independence assumption is not realistic because gene correlations are non-trivial and produce a substantial amount of variance inflation in the global statistic that in turn produces a large number of false positive results\u201d.This justification for the empirical phenotype-based permutation null model of GSEA was defended by Tamayo et al. when theWe can more clearly state the central claim underlying this procedure with symbolic logic as follows:A \u2192 BA: Genes in a gene set are correlated when the gene setis not enriched in the gene expression signature.B: A gene set analysis method that assumes independence betweengenes will not control the Type I error rate of gene set analysis.Tamayo et al. sought to prove their primary claim by showing that SEA produced a large number of false positives in their benchmark analyses . Unfortunately, such a verification would only be valid if the converse of the statement were true in general, and the converse of a statement and the statement itself are not logically equivalent in general. However, the statement (A \u2192 B) does prove useful through its contrapositive, which may be stated as follows:\u00acB \u2192 \u00acA\u00acB: A gene set analysis method that assumes independence betweengenes adequately controls the Type I error rate of gene set analysis.\u00acA: Genes in a gene set are not correlated when the gene setis not enriched in the gene expression signature.\u201cFor each dataset in the benchmark, we randomized the phenotype labels 1000 times and ran both algorithms \u2026 The p values are computed using the areas under the empirical null histograms from GSEA and areas under the normal distribution for SEA\u201d.Since the contrapositive of a statement and the statement itself are always logically equivalent, we find that the primary claim underlying the validity of the empirical phenotype-based permutation null model for GSEA can be falsified if we are able to create a gene set analysis method that assumes that genes in a gene set are independent when the gene set is not enriched in a gene expression signature and subsequently show that this method adequately controls the Type I error rate of gene set analysis. Additionally, we note that the approach undertaken by Tamayo et al. as an attempt to defend GSEA and falsify SEA is fundamentally flawed because the method that Tamayo et al. used to evaluate the specificity of GSEA and SEA is the same empirical phenotype-based permutation procedure that GSEA relies on to estimate the null model for gene set enrichment. Tamayo et al. describe their benchmarking procedure as follows:We see this is the same description provided by Subramanian et al. for the This discussion also serves to highlight the challenges intrinsic to accurately benchmarking gene set analysis methods using experimental data; in particular, gene sets that are frequently analyzed are often derived from the literature for biological processes or other gene ontologies that are not amenable to systematic, experimental validation. However, recent work in the field of cancer systems biology has shown that gene set analysis methods can be used to measure the differential activity of transcriptional regulatory proteins ,11; in tIn this manuscript, we derive and benchmark Nonparametric analytical-Rank-based Enrichment Analysis (NaRnEA), a novel gene set analysis method that leverages a fully analytical null model for gene set enrichment created using the information theoretic Principle of Maximum Entropy . By virtFurthermore, we demonstrate that NaRnEA is highly sensitive, identifying far more statistically significantly enriched regulon gene sets in these TCGA cohorts than either GSEA or analytical-Rank-based Enrichment Analysis (aREA), the gene set analysis method originally developed as the computational engine of VIPER that also employs an empirical phenotype-based permutation null model. Using independent proteomic data from the Clinical Proteomic Tumor Analysis Consortium (CPTAC) for LUAD, COAD, and HNSC cancer types, we demonstrate that the differential activity of transcriptional regulatory proteins measured by NaRnEA in TCGA is significantly correlated with the differential abundance of the same transcriptional regulatory proteins in CPTAC. Given that the abundance and the activity of transcriptional regulatory proteins differ due to a number of biochemical processes , this agreement provides substantial biological support for NaRnEA-inferred differential protein activity. Crucially, this comparative analysis is not possible in a large-scale, systematic fashion for literature-curated gene sets since the corresponding gene ontologies are infrequently amenable to independent, experimental validation.https://github.com/califano-lab/NaRnEA (accessed on 3 March 2023)).These findings demonstrate that NaRnEA is statistically robust, having greater sensitivity than either GSEA or aREA without loss of specificity, and produces biologically meaningful inferences. We also interrogated the statistical properties of the empirical phenotype-based permutation procedure leveraged by GSEA and aREA and determined that the resulting null gene expression signatures exhibit substantial correlation with the true gene expression signature, thus providing a rigorous explanation for the reduced sensitivity of any gene set analysis method that relies on this procedure to approximate the null model for gene set enrichment. Finally, we identify systematic flaws in both GSEA and aREA when these methods are applied using alternative null models for gene set analysis while further highlighting the excellent performance of NaRnEA. NaRnEA and ARACNe3, along with all the code necessary to reproduce these analyses, are freely available for research use on GitHub ):rth regulator, where As a result of the nonparametric transformation in Equation (2), we can instead consider the discrete joint sampling distribution for the gene set members where the domain of each marginal is rth regulator corresponds with a greater increase in probability mass at the extremes of the nonparametric differential gene expression signature and therefore a more substantial reduction in the joint Shannon entropy of the discrete joint probability distribution. It follows from this line of reasoning that when the magnitude of the difference in the activity of the rth regulator between the test phenotype . Thus, to falsify this claim, it will be sufficient to demonstrate that NaRnEA is capable of adequately controlling the Type I error rate of gene set analysis.rth regulator is enriched in the nonparametric differential gene expression signature computed between the test phenotype for which the Association Weight and Association Mode parameters are sufficiently well balanced; this ensures that the variance of the summand is not dominated by the variance of any element of the summand under the null hypothesis.Thus, the vector that consists of the Normalized Directed Enrichment Score and the Normalized Undirected Enrichment Score is a bivariate normal random vector under the null hypothesis of gene set analysis; furthermore, the mean of each marginal is equal to zero, and the variance of equal marginal is equal to one. We can also compute the covariance of this bivariate normal random vector under the null hypothesis of gene set analysis as follows (Equation (14)):rth regulator under each version of the alternative hypothesis. Since each gene in the regulon gene set for the rth regulator with a positive Association Mode will have a positive differential gene expression signature value under the positive alternative hypothesis, and each gene in the regulon gene set for the rth regulator with a negative Association Mode will have a negative differential gene expression signature value under the positive alternative hypothesis, it follows that both the Normalized Directed Enrichment Score and the Normalized Undirected Enrichment Score will be positive under the positive alternative hypothesis. Based on this rationale, we can combine the Normalized Directed Enrichment Score with the Normalized Undirected Enrichment Score to produce a single test statistic that will be strongly positive under the positive alternative hypothesis, which we refer to as the positive Normalized Enrichment Score (Equation (15)):To determine how we should interpret the bivariate vector consisting of the Normalized Directed Enrichment Score and the Normalized Undirected Enrichment Score as providing evidence for either positive or negative gene set enrichment in the nonparametric differential gene expression signature, we return to our previous discussion regarding the differential gene expression signature values for the members of the regulon gene set for the rth regulator with a positive Association Mode will have a negative differential gene expression signature value under the negative alternative hypothesis, and each gene in the regulon gene set for the rth regulator with a negative Association Mode will have a positive differential gene expression signature value under the negative alternative hypothesis, it follows that the Normalized Directed Enrichment Score will be negative under the negative alternative hypothesis while the Normalized Undirected Enrichment Score will be positive under the negative alternative hypothesis. Based on this rationale, we can combine the Normalized Directed Enrichment Score with the Normalized Undirected Enrichment Score to produce a single test statistic that will be strongly negative under the negative alternative hypothesis, which we refer to as the negative Normalized Enrichment Score (Equation (16)):Since each gene in the regulon gene set for the This biologically motivated change of variables is mathematically equivalent to an affine transformation of the original bivariate vector lculated . More foWe find that p-values can be interpreted in a one-tailed manner as providing evidence against the null hypothesis in favor of the positive or negative version of the alternative hypothesis, respectively. Under the frequentist paradigm of null hypothesis significance testing, a sufficiently small ):In order to control the overall Type I error rate of NaRnEA, we recognize that selecting the most likely form of the alternative hypothesis based on the minimum of these one-tailed It follows from the Data Processing Inequality Theorem that ):We have already shown that, as a result of the affine transformation that produced the positive Normalized Enrichment Score and the negative Normalized Enrichment Score, the Pearson product moment correlation between these test statistics is equal to zero under the null hypothesis of gene set analysis. Thus, it immediately follows that the mutual information between the positive Normalized Enrichment Score and the negative Normalized Enrichment Score is equal to zero under the null hypothesis of gene set analysis. As a result, and is approximately normally distributed under the null hypothesis of the Wilcoxon signed-rank test. If the T-statistic is divided by its maximum possible value , the resulting effect size is known as the rank\u2013biserial correlation; it has a maximum value of (1) and minimum value of (\u22121). We can leverage a similar approach to calculate the NaRnEA Proportional Enrichment Score (PES), which serves as the effect size for the enrichment of the rth regulon in the nonparametric differential gene expression signature computed between the test phenotype and greater than or equal to (\u22121).The Proportional Enrichment Score for the regulon gene set of the rth regulator is equal to (0) when the regulon gene set of the rth regulator is not enriched in the nonparametric differential gene expression signature computed between the test phenotype . Thus, the Proportional Enrichment Score can be interpreted as type of nonparametric correlation coefficient. A confidence interval for the NaRnEA Proportional Enrichment Score can be estimated by applying the Fisher z-transformation to achieve approximate normality of this effect size under the alternative hypothesis; the associated standard error of the Fisher z-transformed NaRnEA Proportional Enrichment Score can be estimated by applying a suitable resampling procedure such as bootstrapping members of the gene set [The effect size for NaRnEA is calculated from the test statistic for NaRnEA in the same way that the effect size for the Wilcoxon signed-rank test is calculated from the test statistic for the Wilcoxon signed-rank test and the reference phenotype (B). Thus, we can calculate the statistical significance of this Leading Edge Score for the gth gene with respect to the rth regulator using the Maximum Entropy null model for gene set analysis as follows (Equation (26)):p-values may be adjusted for multiple hypothesis testing to identify those gene set members that contribute most significantly to the gene set enrichment. Importantly, the Leading Edge Score does not depend on the Association Weight of the gth gene with respect to the rth regulator; this ensures that the selection of genes that belong to the leading edge of the gene set a posteriori is not biased by any measure of gene set member importance that has been determined a priori.If either the positive alternative hypothesis or the negative alternative hypothesis is true, we would expect the ARACNe3 is an updated implementation of the Algorithm for the Reconstruction of Accurate Cellular Networks. The goal of ARACNe3 is to reverse-engineer a context-specific transcriptional regulatory network that consists of bivariate interactions between a set of predefined, putative transcriptional regulators and potential transcriptional targets.ARACNe3 accepts properly normalized gene expression profiles that correspond to independent samples from a single biological phenotype. Like previous versions of the algorithm, ARACNe3 recommends that users reverse-engineer multiple estimates of the transcriptional regulatory network topology and integrate these to form a consensus network. Previously, ARACNe-AP recommended that the estimates of the transcriptional regulatory network topology should be reverse-engineered in a decorrelated manner by sampling from the original set of gene expression profiles with replacement . While this approach is commonly employed in the field of ensemble machine learning , we finTo avoid these pitfalls, ARACNe3 generates decorrelated individual networks by sampling a prespecified maximum number of individual networks have been reverse-engineered, or (2) each putative transcriptional regulator has been assigned a prespecified minimum number of unique targets. The individual networks are then integrated to form an ARACNe3-inferred consensus transcriptional regulatory network. The mutual information and Spearman correlation for each putative transcriptional regulatory interaction in the ensemble network are estimated a final time using all gene expression profiles for greater accuracy.rth transcriptional regulator is constructed by extracting all putative transcriptional regulatory interactions for the rth transcriptional regulator from the ARACNe3-inferred consensus transcriptional regulatory network. The Association Weight values are calculated by sorting all putative target genes based on (1) the number of individual networks in which they appeared as targets of the rth transcriptional regulator and (2) the final estimated mutual information between the rth transcriptional regulator and target gene. A copula transformation is then applied to the Association Weight values to ensure that the ARACNe3-inferred regulon gene sets are sufficiently well balanced to meet Lindeberg\u2019s condition and guarantee the asymptotic standard normality of the NaRnEA Normalized Enrichment Score under the null hypothesis of gene set analysis. The Association Mode values are taken to be the Spearman correlation coefficient between the rth transcriptional regulator and each regulon gene set member as estimated from all gene expression profiles.The ARACNe3-inferred regulon gene set for the The lung adenocarcinoma (LUAD) context-specific transcriptional regulatory network was reverse-engineered with ARACNe3 from 476 unpaired primary tumor gene expression profiles from TCGA using 2491 putative transcriptional regulators. Gene expression profiles were downloaded using the TCGAbiolinks R package from Bioconductor and normThe colon adenocarcinoma (COAD) context-specific transcriptional regulatory network was reverse-engineered with ARACNe3 from 437 unpaired primary tumor gene expression profiles from TCGA using 2491 putative transcriptional regulators. Gene expression profiles were downloaded using the TCGAbiolinks R package from Bioconductor and normalized for sequencing depth prior to network reverse engineering . The first round of individual network pruning was carried out with a threshold for mutual information calculated to control the FDR at 5%. Individual networks were reverse-engineered until each putative transcriptional regulator had at least 50 unique transcriptional targets; this was achieved after seven iterations. The final consensus ARACNe3-inferred transcriptional regulatory network for COAD consists of 2491 regulators, 19,350 targets, and 675,373 regulatory interactions.The head and neck squamous cell carcinoma (HNSC) context-specific transcriptional regulatory network was reverse-engineered with ARACNe3 from 457 unpaired primary tumor gene expression profiles from TCGA using 2491 putative transcriptional regulators. Gene expression profiles were downloaded using the TCGAbiolinks R package from Bioconductor and normalized for sequencing depth prior to network reverse engineering . The first round of individual network pruning was carried out with a threshold for mutual information calculated to control the FDR at 5%. Individual networks were reverse-engineered until each putative transcriptional regulator had at least 50 unique putative transcriptional targets; this was achieved after 12 iterations. The final consensus ARACNe3-inferred transcriptional regulatory network for HNSC consists of 2491 regulators, 19,350 targets, and 812,199 regulatory interactions.GSEA accepts properly normalized gene expression profiles from samples representing a test phenotype and a reference phenotype; the differential expression of each gene is then estimated using the Signal-to-Noise Ratio (SNR). The enrichment of a gene set in this gene expression signature is calculated with a weighted Kolmogorov\u2013Smirnov-like statistic . Subramanian et al. recommenhttp://www.gsea-msigdb.org/gsea/downloads.jsp (accessed on 1 October 2020)). The GSEA null model was estimated using 1000 sample-shuffling permutations. Empirical two-sided p-values returned by GSEA were corrected to a minimum of (1/1001), the smallest possible two-sided p-value for an empirical null model constructed from 1000 sample-shuffling permutations [Paired gene expression profiles from primary tumors and phenotype-matched normal tissue samples from TCGA were normalized using a blinded DESeq2 varianceutations .t-test [aREA accepts properly normalized gene expression profiles from samples representing a test phenotype and a reference phenotype; the differential expression of each gene is then estimated using Welch\u2019s unpaired t-test . The enrt-test recommenp-values returned by aREA were corrected to a minimum of (1/1001), the smallest possible two-sided p-value for an empirical null model constructed from 1000 sample-shuffling permutations.Paired gene expression profiles from primary tumors and phenotype-matched normal tissue samples from TCGA were normalized using a blinded DESeq2 variance-stabilizing transformation prior to analysis with aREA. The VIPER R package from Bioconductor was used to run aREA, as described previously by Alvarez et al. . The aREhttp://linkedomics.org (accessed on 1 October 2020)) [Log-ratio normalized protein abundance data for primary tumors and phenotype-matched normal tissue samples were downloaded from CPTAC for the LUAD, COAD, and HNSC cancer types (r 2020)) . Data wer 2020)) . Gene nar 2020)) .All figures were created in R using the ggplot2 R package from CRAN .p-values were corrected for multiple hypothesis testing to control the FDR according to the methodology of Benjamini and Hochberg or to control the FWER according to the methodology of Bonferroni [nferroni . The 95%nferroni .We evaluated NaRnEA by performing gene set analysis using gene expression data from The Cancer Genome Atlas (TCGA) for lung adenocarcinoma (LUAD), colon adenocarcinoma (COAD), and head and neck squamous cell carcinoma (HNSC); these cancer types were selected because of (1) the availability of phenotype-matched primary tumor and normal tissue RNA-Seq gene expression profiles in TCGA and (2) the availability of phenotype-matched primary tumor and normal tissue mass spectrometry protein abundance profiles in the Clinical Proteomic Tumor Analysis Consortium (CPTAC). Crucially, the differential protein abundance inferred from mass spectrometry data in CPTAC provides orthogonal validation for the differential protein activity inferred from gene expression data in TCGA. For each TCGA cohort, we separated the primary tumor gene expression profiles into two groups based on whether each primary tumor was submitted with or without an associated adjacent normal tissue sample; we refer to these as paired and unpaired primary tumor gene expression profiles, respectively. From the unpaired primary tumor gene expression profiles, we reverse-engineered a context-specific transcriptional regulatory network for each cancer type with ARACNe3 for 2491 putative transcriptional regulatory proteins [p-values based on the control of the False-Positive Rate (FPR < 0.05), False Discovery Rate (FDR < 0.05), or Family-Wise Error Rate (FWER < 0.05).Subsequently, we created an identical number of null model (NM) regulons by swapping out the members of each TS regulon with an equal number of genes selected at random from the complement of the corresponding TS regulon gene set. By virtue of their construction, the NM regulons are biologically meaningless and therefore will not be enriched in any differential gene expression signature. We used the gene expression profiles from 57 LUAD, 41 COAD, and 43 HNSC patient-matched primary tumor and adjacent normal tissue samples from TCGA to estimate cohort-specific differential gene expression signatures. We then used NaRnEA to test for the enrichment of the NM regulons in the corresponding differential gene expression signatures. The number of statistically significantly enriched NM regulons was determined from the NaRnEA two-sided This analysis demonstrates that after correcting for multiple hypothesis testing, NaRnEA did not find any of the NM regulons to be statistically significantly enriched in the differential gene expression signatures computed between primary tumor and adjacent normal tissue samples from TCGA . CrucialHaving established the specificity of NaRnEA using the NM regulons, we subsequently evaluated the sensitivity of NaRnEA using the TS regulons. Given the substantial differences in gene expression between malignant and benign phenotypes, we expected that at least some fraction of the 2491 transcriptional regulatory proteins to which these TS regulons correspond would exhibit differential activity between the primary tumor and adjacent normal tissue samples from TCGA. However, we did not know a priori which subset of transcriptional regulatory proteins would exhibit differential activity, since no experimental methodology exists to measure the activity of transcriptional regulatory proteins in a systematic, high-throughput manner in vivo. Instead, we used NaRnEA to test for the enrichment of the TS regulons in the corresponding differential gene expression signatures computed between the primary tumor and adjacent normal tissue samples from TCGA; then, we used independent mass spectrometry data from CPTAC to determine whether the differential activity of the transcriptional regulatory proteins, inferred from TCGA gene expression data using NaRnEA, was correlated with the differential abundance of the transcriptional regulatory proteins, inferred from CPTAC proteomic data using a Mann\u2013Whitney U (MWU) test.rth regulator between the test phenotype ): Theorem that thep-values based on the control of the False-Positive Rate (FPR < 0.05), False Discovery Rate (FDR < 0.05), or Family-Wise Error Rate (FWER < 0.05).The number of TS regulons that were statistically significantly enriched in the differential gene expression signatures computed between primary tumor and adjacent normal tissue samples in each of the cancer types from TCGA was determined from the NaRnEA two-sided tumor = 110, 97, 109) and phenotype-matched normal tissue samples in the LUAD, COAD, and HNSC cohorts from CPTAC, respectively. For each cancer type, we restricted our analysis to the transcriptional regulatory proteins for which a TS regulon and mass spectrometry data were available. We corrected the MWU test two-sided p-values from CPTAC for multiple hypothesis testing and classified each transcriptional regulatory protein as upregulated , downregulated , or not statistically significantly differentially abundant . Similarly, we also corrected the NaRnEA two-sided p-values from TCGA for multiple hypothesis testing and classified each transcriptional regulatory protein as activated , deactivated , or not statistically significantly differentially activated . We tested for an association between NaRnEA-inferred differential protein activity from TCGA- and MWU-inferred differential protein abundance from CPTAC using a three-by-three contingency table for LUAD , COAD , and HNSC cancer types. These results offer biological validity for the NaRnEA-inferred differential protein activity, further reinforcing that NaRnEA is a highly sensitive gene set analysis method. The NaRnEA-inferred differential protein activity for all putative transcriptional regulatory proteins can be visualized en masse by plotting the absolute value of the Normalized Enrichment Score vs. the Proportional Enrichment Score for each TS regulon using a modified version of a volcano plot [This analysis revealed that the NaRnEA-inferred differential protein activity from TCGA was statistically significantly positively correlated with the MWU-inferred differential protein abundance from CPTAC for the LUAD . Since there was no overlap between the gene expression profiles that were used by ARACNe3 to reverse-engineer the context-specific transcriptional regulatory networks and the gene expression profiles that were used to estimate the differential gene expression signatures for these cancer types, the NaRnEA Leading Edge p-values and the ARACNe3-inferred Association Weight values would be independent under the null hypothesis that the NaRnEA Leading Edge analysis cannot identify the gene set members that contribute most significantly to the gene set enrichment. In support of the NaRnEA Leading Edge analysis, this analysis revealed that the ARACNe3-inferred Association Weight values and the NaRnEA-inferred post hoc Leading Edge p-values exhibited a statistically significantly negative Spearman correlation (FWER < 0.05) for the vast majority of TS regulons in TCGA LUAD (91.75%), TCGA COAD (90.56%), and TCGA HNSC (88.33%). This analysis was restricted to those TS regulons that NaRnEA inferred were statistically significantly enriched in the differential gene expression signatures computed between the corresponding primary tumor and adjacent normal tissue samples from TCGA (FWER < 0.05) since post hoc Leading Edge analysis is only interpretable for these gene sets.To demonstrate the utility of the NaRnEA Leading Edge analysis, we calculated the post hoc Leading Edge p-values; statistical significance was established based on the control of the False-Positive Rate (FPR < 0.05), False Discovery Rate (FDR < 0.05), or Family-Wise Error Rate (FWER < 0.05).To compare NaRnEA with GSEA and aREA, we first applied these alternative gene set analysis methods to test for the enrichment of the NM regulons in the gene expression data from TCGA for LUAD, COAD, and HNSC. The number of statistically significantly enriched NM regulons was determined for GSEA and aREAp-values; statistical significance was established based on the control of the False-Positive Rate (FPR < 0.05), False Discovery Rate (FDR < 0.05), or Family-Wise Error Rate (FWER < 0.05).This analysis demonstrates that, after correcting for multiple hypothesis testing, neither GSEA nor aREA found any of the NM regulons to be statistically significantly enriched in the differential gene expression signatures computed between primary tumor and adjacent normal tissue samples from TCGA; thus, we conclude that both methods adequately control the Type I error rate of gene set analysis. We subsequently applied GSEA and aREA to test for the enrichment of the TS regulons in the gene expression data from TCGA for LUAD, COAD, and HNSC. The number of statistically significantly enriched TS regulons was determined for GSEA and aREAThis analysis demonstrates that, after correcting for multiple hypothesis testing, neither GSEA nor aREA found any of the TS regulons to be statistically significantly enriched in the differential gene expression signatures computed between primary tumor and adjacent normal tissue samples from TCGA. Given that the NaRnEA-inferred differential protein activity from TCGA was significantly correlated with MWU-inferred differential protein abundance from CPTAC, we conclude that NaRnEA is significantly more sensitive than both GSEA and aREA; furthermore, the fact that NaRnEA did not identify any statistically significantly enriched NM regulons after correcting for multiple hypothesis testing demonstrates that this gain in sensitivity is achieved without loss of specificity.The low sensitivity of GSEA and aREA, as evidenced by their inability to identify statistically significantly enriched TS regulons after correcting for multiple hypothesis testing, can be attributed directly to their reliance on the empirical phenotype-based permutation null model, which we have shown to be unnecessary for achieving adequate control of the gene set analysis Type I error rate. In order to determine why the use of the empirical phenotype-based permutation null model decreases the sensitivity of these methods, we applied this procedure to the gene expression data from TCGA while determining how many primary tumor and adjacent normal tissue samples were distributed to the null test phenotype and null reference phenotype during each permutation. Then, for each of the sample-shuffling permutations, we estimated a null differential gene expression signature between the null test phenotype samples and the null reference phenotype samples using an MWU test; we repeated this process 1000 times for each cancer type. We then tested for the enrichment of the ARACNe3-inferred TS regulons in each of these null differential gene expression signatures with NaRnEA.p-values for multiple hypothesis testing (FWER < 0.05), we found that some of the TS regulons were statistically significantly enriched in each of the null differential gene expression signatures computed from TCGA LUAD , TCGA COAD , and TCGA HNSC . Since we established that NaRnEA adequately controls the Type I error rate of gene set analysis, we can conclude that the enrichment of the TS regulons was not an artifact; rather, this finding suggests that each of the null differential gene expression signatures exhibited some degree of correlation with the original differential gene expression signature.After correcting the resulting NaRnEA two-sided p-values for multiple hypothesis testing (FWER < 0.05), we found that nearly all of the null differential gene expression signatures from TCGA LUAD (94.7%), TCGA COAD (95%), and TCGA HNSC (93.2%) were statistically significantly correlated with the original differential gene expression signature from the same cancer type. Furthermore, we found that this correlation between each null differential gene expression signature and the original differential gene expression signature was strongly associated with the degree of imbalance between the corresponding null phenotypes; for example, when the null test phenotype contained a greater number of primary tumor samples than adjacent normal tissue samples, the resulting null differential gene expression signature was more likely to be positively correlated with the original differential gene expression signature n et al. attemptep-value was greater than 0.50. Thus, these TN regulons consisted solely of genes that were not enriched at the extremes of the corresponding differential gene expression signature; therefore, an accurate gene set analysis method should not identify any statistically significant enrichment for these gene sets. We used NaRnEA , False Discovery Rate (FDR < 0.05), or Family-Wise Error Rate (FWER < 0.05).We constructed a new group of gene sets, which we refer to as totally null (TN) regulons, by replacing the members of each TS regulon with genes drawn at random from the set of genes for which the MWU differential gene expression two-sided d NaRnEA and GSEAd NaRnEA to test We determined that, after correcting for multiple hypothesis testing to control the False Discovery Rate, GSEA found 100% of the TN regulons to be statistically significantly enriched in the differential gene expression signatures computed between primary tumor and adjacent normal tissue samples from TCGA. In contrast, even without correcting for multiple hypothesis testing, NaRnEA did not find any of the TN regulons to be statistically significantly enriched in the differential gene expression signatures. These results falsify the secondary claim made by Subramanian et al. and Tama\u201c\u2026 the statistical significance for the enrichment score is estimated by comparison to a null model generated by permuting the samples uniformly at random or by an analytic approach equivalent to shuffle the genes in the signatures uniformly at random \u2026 Gene shuffling can be approximated analytically as follows: according to the central limit theorem, the mean of a sufficiently large number of independent random variables will be approximately normally distributed. The enrichment score of our null hypothesis fulfill this condition, and we ensure a mean of zero and variance equal to one for the enrichment score under the null hypothesis by applying a quantile transformation based on the normal distribution to the rank-transformed gene expression signature before computing the enrichment score\u201d.We also examined the alternative null model for aREA, which is described by Alvarez et al. as folloAlvarez et al. invoked p-values for multiple hypothesis testing (FWER < 0.05), we rejected the null hypothesis that the aREA test statistics were normally distributed with a mean of zero and a variance of one under the null hypothesis of gene set analysis for 100% of the TS regulons in TCGA LUAD, TCGA COAD, and TCGA HNSC. This analysis demonstrates that the alternative null model provided for aREA does not behave in the manner described by Alvarez et al. [We found that, after correcting the resulting z et al. ; unfortuhttps://github.com/califano-lab/NaRnEA (accessed on 3 March 2023)).It is widely appreciated that the rigor and reproducibility of scientific research depends on the use of computational and experimental methods that are sufficiently sensitive to make meaningful inferences while maintaining adequate control of the Type I error rate to reduce spurious findings . Gene se"}
+{"text": "Technology advancement has allowed more frequent monitoring of biomarkers. The resulting data structure entails more frequent follow-ups compared to traditional longitudinal studies where the number of follow-up is often small. Such data allow explorations of the role of intra-person variability in understanding disease etiology and characterizing disease processes. A specific example was to characterize pathogenesis of bacterial vaginosis (BV) using weekly vaginal microbiota Nugent assay scores collected over 2 years in post-menarcheeal women from Rakai, Uganda, and to identify risk factors for each vaginal microbiota pattern to inform epidemiological and etiological understanding of the pathogenesis of BV.We use a fully data-driven approach to characterize the longitudinal patters of vaginal microbiota by considering the densely sampled Nugent scores to be random functions over time and performing dimension reduction by functional principal components. Extending a current functional data clustering method, we use a hierarchical functional clustering framework considering multiple data features to help identify clinically meaningful patterns of vaginal microbiota fluctuations. Additionally, multinomial logistic regression was used to identify risk factors for each vaginal microbiota pattern to inform epidemiological and etiological understanding of the pathogenesis of BV.Using weekly Nugent scores over 2 years of 211 sexually active and post-menarcheal women in Rakai, four patterns of vaginal microbiota variation were identified: persistent with a BV state (high Nugent scores), persistent with normal ranged Nugent scores, large fluctuation of Nugent scores which however are predominantly in the BV state; large fluctuation of Nugent scores but predominantly the scores are in the normal state. Higher Nugent score at the start of an interval, younger age group of less than 20 years, unprotected source for bathing water, a woman\u2019s partner\u2019s being not circumcised, use of injectable/Norplant hormonal contraceptives for family planning were associated with higher odds of persistent BV in women.The hierarchical functional data clustering method can be used for fully data driven unsupervised clustering of densely sampled longitudinal data to identify clinically informative clusters and risk-factors associated with each cluster. Technology advancement has allowed more frequent monitoring of biomarkers to evaluate diseases or health conditions. For example, weekly measurements of grip strength collected during a 6-months period have been used to study how trajectories of muscle weakness served as a marker for adverse health outcomes in older adults . AnotherTraditional longitudinal data analysis methods such as mixed effects models or generalized estimating equation models focus on modeling the cross-sectional mean values and thus do not apply when the scientific goal is to explore and characterize the patterns of intra-person longitudinal changes. To analyze the frequently sampled data in the aforementioned BV dataset, we resorted to functional data analysis framework and developed a hierarchical functional clustering framework utilizing a set of data features by applying the functional non-parametric clustering method by Ferraty and Vieu (2006) .BV is a common form of vaginitis in women and is related to various adverse health outcomes , 6. BV csymptoms , 8, and mentclasspt{minimasymptoms developeHere we use a fully data-driven approach to characterize the longitudinal patterns of vaginal microbiota. The approach uses the original numerical values of Nugent scores and utilizes the intra-person variability to characterize the longitudinal patterns. More specifically, we applied functional data analysis (FDA) \u201317 basedThe remaining of the paper is structured as below: the \u201cIn the rural Rakai Region of Uganda, 312 consenting females between the ages of 13 and 39 participated in a two-year cohort study between 2001 and 2003. For up to two years, participants underwent weekly home-based self-collection of vaginal swabs for assessment of the vaginal microbiota and vaginal pH level. The self-collected vaginal swabs were placed on slides and allowed to air dry before being stained with Gram stain and scored using the Nugent quantitative morphologic categorization for vaginal microbiota, which yields integer scores ranging from 0 to 10 (BV). Detailed questionnaires on sexual risk behaviors and general health were administered at baseline and every 6 months. Every 6 months, a serologic sample was examined for the presence of HIV using HIV enzyme immunosorbent assays, with any discrepant findings being validated by Western blot.The women who were sexually active, post-menarcheal, and who continued in the research for at least 18 months of observation were the focus of this analysis extends the methods of multivariate statistics which concern n spaces . In partn spaces .v corresponding to eigenvalues j-th FPC of Let q terms q-dimensional linear projection of q FPC, According to the Karhunen\u2013Lo\u00e8ve expansion, it holds that cument}\u03c7 . Thus thcument}\u03c7 .i index a study subject and i and at recording times K is the number of time recordings for each i in Rakai) for family planning increased the odds of persistent BV in women . Some studies summarized the longitudinal data into cross-sectional proportions of each category. This provided a summary measure of BV disease burden but prohibited the exploration of biological knowledge embedded in the intra-person variability in the Nugent scores and vaginal microbiota , 10. AnoPrior epidemiological studies of BV primarily relied on measurements of samples collected at one or a few time points every a few months apart , 31. SevFrequently sampled longitudinal data have become increasingly available in recent years. Such data greatly expand the information from a single or a few time points of measurements of biomarkers and allow researchers to explore the clinical utility of the whole process of fluctuations of biomarkers in reflecting a disease or health condition. We applied FDA methods to identify vaginal microbiota patterns using the Nugent scores. Compared to traditional longitudinal data methods, FDA is known to perform better in higher dimensions and can The original Ferraty & Vieu\u2019s method uses the small ball proportions to cluster the functional data. Considering that the proportions have removed information of the values themselves of the functional data, we extended Ferraty & Vieu\u2019s algorithm by further clustering the functional data using other data features, such as the estimated first FPC itself for each subject. The extended algorithm provides a flexible framework of unsupervised learning of frequently sampled longitudinal data to identify biologically or clinically meaningful patterns. The data features to be used in the extended algorithm are chosen by the user, and the number of features to consider should depend on the problem at hand. Using a large number of data features for clustering may not be accepted by the splitting score criterion, or the resulting clusters may not be clinically or biologically interpretable. Our extended algorithm uses a one-feature-at-a-time hierarchical approach instead of clustering using a set of features simultaneously. The latter may be over fitting the data and results in spurious clusters in the presence of many features. With the hierarchical approach, the extended clustering algorithm checks one feature at a time and determines whether the feature is informative for the clustering before proceeding to the next one. This allows informative features to be used in clustering and also allows users\u2019 control of data features to ensure that the non-supervised learning of data can generate scientifically interpretable subpopulations. For example, if the frequently sampled longitudinal biomarker measurements pertain to a degenerative process, then the data feature may include a measure of the rate of decline of the biomarker measurements to inform the clustering process.The clustering methods may also be adapted to characterize disease processes using multivariate frequently sampled longitudinal data. For example, it may be applied to frequenly sampled vaginal microbiota data obtained from higher resolution tools using 16S rRNA gene amplicon sequencing to explore species-specific longitudinal patterns, which may allow identifications of specific pathogenic vaginal organisms with persistent or fluctuating patterns. The original and extended clustering methods are model-free and do not require parametric distribution assumptions. Thus they can be applied to a wide variety of high dimensional time series obtained from other subject areas to study whether intra-person variability and other data features in longitudinal trajectories can identify different biologic or clinical sub-populations.When it is of interest to explore clinical patterns using densely sampled longitudinal data, the hierarchical functional data clustering method can be used for fully data driven unsupervised clustering. The method was applied to the frequently sampled longitudinal Nugent scores to identify different patterns in the natural history of BV in a cohort of Ugandan women. Further risk factor analysis identified demographic and behavioral risk factors associated with persistent BV burden in women. The hierarchical functional data clustering method provides an exploratory data analysis approach for frequent longitudinal data."}
+{"text": "SRXN1 downregulation was accompanied by changes in the DNA methylation level of its promoter and, if so, whether it was correlated with the redox properties of catechins. The impact on DNA methylation profile in HT29 cells treated with different concentrations of five catechins, varying in chemical structures and standard reduction potentials as well as susceptibility to oxidation, was monitored by a methylation-sensitive high-resolution melting technique employing the SRXN1 promoter region as a model target. We demonstrated that catechins, indeed, are able to modulate DNA methylation of the SRXN1 gene in a redox-related manner. The nonlinear method in the statistical analysis made it possible to fish out two parameters (charge transfer in oxidation process oxQ and time of electron transfer t), whose strong interactions correlated with observed modulation of DNA methylation by catechins. Based on these findings, we present a proof-of-concept that DNA methylation, which limits SRXN1 expression and thus restricts the multidirectional antioxidant action of SRXN1, may represent a mechanism protecting cells against reductive stress caused by particularly fast-reacting reductants such as EGC and (\u2212)-epicatechin gallate (ECG) in our study.The role of catechins in the epigenetic regulation of gene expression has been widely studied; however, if and how this phenomenon relates to the redox properties of these polyphenols remains unknown. Our earlier study demonstrated that exposure of the human colon adenocarcinoma HT29 cell line to these antioxidants affects the expression of redox-related genes. In particular, treatment with (\u2212)-epigallocatechin (EGC) downregulated transcription of gene encoding sulfiredoxin-1 (SRXN1), the peroxidase involved in the protection of cells against hydrogen peroxide-induced oxidative stress. The aim of this study was to investigate whether the observed Plant-borne foods and beverages constitute a rich source of antioxidant phytochemicals such as polyphenols, whose consumption has been documented to bring beneficial effects for human health . Dietaryin vitro and in vivo . Ind. IndE0, ly on E0 . Due to promoter , and maySRXN1 by DNA methylation of its promoter seems a particularly powerful mechanism as this enzyme is necessary for the restoration of activity of one of the most important classes of antioxidant enzymes\u2014peroxiredoxins as well as the reduction of other numerous S-sulfinylated proteins [Altogether, our results that compare redox properties of studied catechins with their impact on DNA methylation summarized graphically in the heatmap included in proteins . Our stuSRXN1 promoter might have been driven by the postulated redox-sensitive cellular response. The demonstrated increased DNA methylation of SRXN1 promoter region by EGC and ECG sheds new light on the epigenetic potential of catechins, which so far has been mainly associated with the impaired maintenance of global DNA methylation patterns as a result of DNMT1 activity inhibition. Our results revealed unexpected interrelations between otherwise seemingly independent phenomena (electrochemistry and epigenetics), indicating that novel, interdisciplinary research approaches are needed to define the cause-and-effect relationship for bioactive food components before their usefulness in epigenetic-based cancer chemoprevention becomes predictable.In conclusion, our study demonstrated that the downregulation of SRXN1 gene transcription by some catechins might be a result of increased DNA methylation level within its promoter. This effect seems to depend neither on the standard reduction potentials of these antioxidants nor on their chemical structures as decisive features but rather on the kinetics of redox reaction. A comprehensive electrochemical characterization of catechins and more advanced dedicated experiments are needed to fully understand whether the changes in DNA methylation level in the"}
+{"text": "The success of the global polio eradication initiative is threatened by the genetic instability of the oral polio vaccine, which can result in the emergence of pathogenic vaccine-derived polioviruses following prolonged replication in the guts of individuals with primary immune deficiencies or in communities with low vaccination coverage. Through environmental surveillance, circulating vaccine-derived poliovirus type 2 was detected in Uganda in the absence of detection by acute flaccid paralysis (AFP) surveillance. This underscores the sensitivity of environmental surveillance and emphasizes its usefulness in supplementing AFP surveillance for poliovirus infections in the race towards global polio eradication. Enterovirus in the family Picornaviridae , wi, wi18], The increasing spread and continued evolution of cVDPVs in countries previously declared polio-free is a concern, raising the question of whether the risk mitigation strategies implemented prior to the \u2018switch\u2019 were sufficiently effective. Detection of polioviruses (cVDPVs) in environmental specimens only is a growing trend and has recently been reported in Ghana and the"}
+{"text": "Editorial on the Research TopicNovel methodologies in structural interventional cardiology: Case reportsStructural interventional cardiology has rapidly evolved since the innovation of coronary balloon angioplasty in 1977. Having initially been dominated by coronary intervention the field has grown to provide minimally invasive alternatives to traditional surgical procedures for the treatment of a range of cardiovascular diseases. The continuous advances in technology, new devices, procedural strategies, and imaging techniques that have emerged in the field has led to improved patient outcomes, reduced procedural complications, and expanded indications for interventional treatments. Many inoperable patients are now eligible for the correction of structural cardiac defects with benefits in terms of functional capacity and quality of life. At the forefront of innovation are procedures such as insertion of left atrial appendage occlusion (LAAO) devices, transcatheter aortic valve implantation (TAVI) as well as advancements in imaging techniques, such as multidetector computed tomography (MDCT) and three-dimensional (3D) reconstruction . In thisCase Report: Severe Aortic Valve Regurgitation and Pseudoaneurysm in Aortic Valve-Sparing Operation: The usefulness of Multimodality imaging in a Complex Clinical Scenario, by Leonardo Varotto et al. perfectly illustrates this point. The authors presented a case of a patient presenting with two potentially disastrous complications of aortic valve sparing surgery in that of severe aortic insufficiency and aortic arch pseudoaneurysm. They showed how the use of contrast-enhanced computed tomography and its translation into a 3D printed model was able to provide an accurate representation of the complex anatomy of the aortic root aneurysm and aortic root geometry. This enabled the team, with the aid of transoesophageal 3D ultrasound, to efficaciously treat the patient percutaneously with a combination of transcatheter occluder device plus microcoil embolization and transfemoral valve implantation. The use of multimodal imaging and formation of a 3D printed model in this complex case highlights how these techniques can aid in preoperational planning hopefully leading to the reduction of intra- and post-operative complications.A key adjunct to structural interventional advances is the parallel evolution of cardiac imaging techniques and use of novel technologies such as 3D reconstruction. Catheter-Based Closure of a Post-infective Aortic Paravalvular Pseudoaneurysm Fistula with Severe Regurgitation After Two Valve Replacement Surgeries: A Case Report\u201d by Eustaquio Maria Onorato et al. continues the above theme of combining novel interventional and imaging techniques to tackle complex pathologies in patients at prohibitive surgical risk. Here, the authors report a case of a paravalvular pseudoaneurysm fistula (PPF) with severe paravalvular leak (PVL) after infective endocarditis of a bioprosthetic valve causing severe heart failure in a 72 year old female with multiple comorbidities. Again a 3D model is printed this time based on a MDCT reconstruction in order to better understand PPF anatomy and its relationship with the surrounding structures. This allowed for planning of \u201cex vivo\u201d transcatheter implantation of the most appropriate occluding device to limit residual leak and prevent serious complications. Successful implantation of an Occlutech paravalvular leak device was achieved without any intra or postoperative complications perhaps indicating that catheter-based closure of PPF may be a feasible and safe alternative to surgical repair.\u201cTao Chen et al. in their study entitled \u201cOcclusion of Bilobulated Left Atrial Appendage Using the Dual-Watchman Technique: A Long Term Follow-Up Study\u201d provides a good example of this, describing how the heterogeneous anatomy of the left atrial appendage has to date proved an obstacle for LAAO in a certain subset of cases. The authors conducted a retrospective analysis of 330 patients undergoing LAAO with watchman devices and found 7 cases where large bilobulated LAA's were successfully closed with dual watchman devices using one-stop implantation technology. Although a retrospective study with a small sample size, it provides an indicator that a dual device approach is feasible in a patient population with challenging anatomy where single device closure has been ruled out.As shown in the previous cases advanced imaging modalities and 3D reconstruction can be a powerful adjunct to the structural interventional cardiologist. Despite this, complex anatomy can often be prohibitive to traditional interventional methodologies and thus a search for novel techniques is ever ongoing. Case Report: Sapien 3 Transcatheter Heart Valve Embolization: Cause, Management, and Redo\u201d by Mi Chen et al. highlights a rare and challenging complication of TAVI in that of transcatheter heart valve (THV) embolization. The authors go on to describe the subsequent repositioning and successful navigation of the Sapien 3 THV through the aortic arch using a buddy balloon and performing a pullback manoeuvre into the descending aorta on the shoulder of the inflated deployment balloon. A second THV is then implanted with careful post-implantation evaluation.With the ongoing evolution of structural interventional techniques, such as those mentioned in the case reports thus far, the risk of complications inevitably rises. As such novel methodologies to mitigate these complications are as important to highlight in the literature. \u201cXiangfei Haung et al. entitled \u201cDifferential Diagnosis of Fulminant Myocarditis and Acute Coronary Syndromes in the Case of Failure of Coronary Angiography: A Case Report\u201d. The authors present the readers with a case of 34 year old male with fulminant myocarditis whose presentation is complicated by a coronary artery malformation resulting in failure of coronary angiography and thus initial delay in the true diagnosis. As a result of a comprehensive approach including careful history taking, adjunct imaging and supportive measures such as intra-aortic balloon pump insertion and vein-artery extracorporeal membrane oxygenation (ECMO) the patient was successfully treated and discharged home after 27 days in hospital.Finally we finish with a case report by"}
+{"text": "The expected economic burden on the healthcare system because of quarantining patients with monkeypox virusAlshahrani determines the expected economic cost for healthcare systems due to quarantine in the case of the monkeypox virus. A systematic literature review of studies on similar virus outbreaks was performed. The findings affirm that quarantine effectively mitigates the spread of a virus outbreak, but it has high direct and indirect costs that can only be justifiable for a dangerous virus with high mortality. The monkeypox virus presents moderate risk, unlike high-risk diseases for which quarantine is mandatory. The study recommends the introduction of mass vaccination programs and public awareness and sensitization forums to inform the population about the best behavioral practices to curb the spread of monkeypox virus.see page 231 A retrospective study in a city in the Southeastern region of TurkeyCOVID-19 infection during pregnancy. Akg\u00fcl et al evaluate maternal and fetal clinical outcomes in SARS-CoV-2 infected pregnant women during the whole period of the pandemic in a single province in the southeast of Turkey. They concluded that in the 3rd trimester of pregnancy, obesity and hypothyroidism were found to be risk factors for severe-critical cases of COVID-19 infection, and the clinical course was more severe with a higher rate of mortality in the recent period of the pandemic.see page 268A cross-sectional study in Saudi populationSelf-care practices among heart failure patients. Aljohani describes self-care practices among Saudi heart failure (HF) patients and identify sociodemographic characteristics contributing to self-care practices. He concluded that Self-care practices in this study showed higher scores than those reported in international studies. Further studies are warranted to explore everyday self-care needs and challenges among HF patients.see page 277Patellar height changes after treatment of tibia plateau fractures. A radiological analysisDo\u011fan et al determine the impact of tibial plateau fractures on patellar height and the factors affecting this impact in in a retrospective prognostic study. They concluded that Long-term functions of tibial plateau fractures should be evaluated not only with a painless range of motion but also with patellar height. It should be noted that the Luo classification, which evaluates the plateau 3-dimensionally, may be associated with changes in postoperative patellar height valuessee page 306"}
+{"text": "The foundation for long-term functional outcomes of the burn patient is laid in the Burn ICU. Nursing plays a vital role in the Rehabilitation Plan of Care for patients with burn injuries. As the member of the critical care team who is most present with the patient around the clock, the burn nurse is essential for carrying over and following through with interventions initiated by Occupational Therapy, Physiotherapy and Speech & Language Pathology. Without cohesion and partnership on the interdisciplinary burn team, the Rehabilitation Plan Care cannot succeed. In the midst of the COVID-19 pandemic, burn nursing turnover rates are higher than pre-pandemic rates. Burn Centers are relying on travel nursing contracts or novice nurses fresh out of school to provide specialized burn care. Our center developed a didactic and \u201chands on\u201d learning initiative to improve collaboration between the Burn Nursing and Burn Physical Medicine departments in order to equip the critical care burn nurses to actively participate in the Rehabilitation Plan of Care. \u2022 Collaboration between Burn Nursing leadership and Burn Physical Medicine leadership to examine ABA nursing competencies pertaining to the Rehabilitation Plan of Care \u2022 Team of PTs/OTs identified to develop curriculum based off these competencies \u2022 Learning objectives set \u2022 Hands on training program developed \u2022 8 small group training sessions completed \u2022 Competency assessments completed \u2022 7 question pre- & post-testing completed to assess learning \u2022 Opportunity for input from participants for quality improvement104 Burn ICU nurses participated in the classes. 99% passed competency assessment.Improvements between Pre- and Post- Test scores demonstrate learning of desired knowledge and skills.Feedback assessment from RNs regarding value of course participation & ongoing need for collaborative training (most common was related to positioning & compression)104 burn ICU nurses participated in hands-on, didactic training related to nursing competencies related to the Rehabilitation Plan of Care. Data is now being collected regarding follow through of knowledge and skills implementation.This project showed the improvement that can be made in regards to the cooperation of burn ICU nurses with the rehabilitation plan of care."}
+{"text": "Electronic health record (EHR)\u2013integrated digital personal health records (PHRs) via Fast Healthcare Interoperability Resources (FHIR) are promising digital health tools to support care coordination (CC) for children and youth with special health care needs but remain widely unadopted; as their adoption grows, mixed methods and implementation research could guide real-world implementation and evaluation.This study (1) evaluates the feasibility of an FHIR-enabled digital PHR app for CC for children and youth with special health care needs, (2) characterizes determinants of implementation, and (3) explores associations between adoption and patient- or family-reported outcomes.This nonrandomized, single-arm, prospective feasibility trial will test an FHIR-enabled digital PHR app\u2019s use among families of children and youth with special health care needs in primary care settings. Key app features are FHIR-enabled access to structured data from the child\u2019s medical record, families\u2019 abilities to longitudinally track patient- or family-centered care goals, and sharing progress toward care goals with the child\u2019s primary care provider via a clinician dashboard. We shall enroll 40 parents or caregivers of children and youth with special health care needs to use the app for 6 months. Inclusion criteria for children and youth with special health care needs are age 0-16 years; primary care at a participating site; complex needs benefiting from CC; high hospitalization risk in the next 6 months; English speaking; having requisite technology at home ; and an active web-based EHR patient portal account to which a parent or caregiver has full proxy access. Digital prescriptions will be used to disseminate study recruitment materials directly to eligible participants via their existing EHR patient portal accounts. We will apply an intervention mixed methods design to link quantitative and qualitative data and characterize implementation determinants. Two CC frameworks and 2 evaluation frameworks provide theoretical foundations for this study.Participant recruitment began in fall 2022, before which we identified >300 potentially eligible patients in EHR data. A family engagement panel in fall 2021 generated formative feedback from family partners. Integrated analysis of pretrial quantitative and qualitative data informed family-centered enhancements to study procedures.Our findings will inform how to integrate an FHIR-enabled digital PHR app for children and youth with special health care needs into clinical care. Mixed methods and implementation research will help strengthen implementation in diverse clinical settings. The study is positioned to advance knowledge of how to use digital health innovations for improving care and outcomes for children and youth with special health care needs and their families.ClinicalTrials.gov NCT05513235; https://clinicaltrials.gov/study/NCT05513235DERR1-10.2196/46847 Care coordination (CC) is an essential intervention for children and youth with special health care needs that involves clinicians and patients or families collaborating to coordinate numerous health and related services across multiple service sectors within the \u201ccomplex care ecosystem\u201d of each child and youth with special health care needs . ChildreTo fill CC gaps, some families of children and youth with special health care needs have developed strategies to organize details of their child\u2019s lifelong health records ,12; howeDespite their potential as digital health innovations and the clinical need for solutions for children and youth with special health care needs, FHIR-enabled digital PHRs have not yet been broadly adopted due to logistical and research challenges. Key logistical challenges include technical barriers, funding and infrastructure support, and lack of end user engagement in co-design . In the The objectives of this study are to (1) evaluate the feasibility of a digital PHR mobile app with FHIR-enabled EHR integration to coordinate care for children and youth with special health care needs, (2) identify and describe barriers and facilitators (determinants) of mobile app implementation, and (3) explore associations between mobile app adoption and patient or family-reported outcomes.This study protocol describes a nonrandomized, single arm, prospective feasibility trial of a FHIR-enabled digital PHR mobile app used as a CC tool by families of children and youth with special health care needs in primary care settings for a 6-month period. We will apply an intervention MMR study design within tThe intervention under evaluation in this study is a FHIR-enabled digital PHR mobile app (Caremap). The app is a digital health innovation designed to facilitate family-centered CC for children and youth with special health care needs through several key features. One key CC feature of the app is FHIR-enabled access to structured data elements from the child\u2019s EHR chart , thereby allowing families to view health information as seen by their child\u2019s primary care provider (PCP) in the EHR , left. ACore app features were developed to maintain the locus of control for the child\u2019s health information with their families; development of the clinician dashboard involved input from practicing clinicians. After initial app development was completed, parents of children and youth with special health care needs with established pediatric specialty care within our health system and a sample of parents of children and youth with special health care needs with care external to our health system tested an early app prototype . These eThis study will be conducted at a large health system in the southern United States that includes a tertiary care children\u2019s hospital and multiple primary care pediatric practices using an enterprise-wide EHR system (Epic). The study will recruit adult parents or guardians of children and youth with special health care needs aged 0-16 years old with primary care established within a network of pediatric primary care sites that are academically affiliated with our institution.PCPs will be recruited as study participants in order to include clinician perspectives on the feasibility of a dashboard as a companion to the mobile app. The clinician dashboard is accessible from within the EHR and includes a summary of information recorded by families on their personal device and synchronized with the EHR, thereby providing PCPs with view-only access to family-reported longitudinal health insights at the point-of-care during clinical visits.Eligibility criteria for study participation will include (1) patient age of 0-16 years, (2) primary care attribution to a participating site, (3) PCP clinical determination that the child has complex needs that can benefit from additional CC support, (4) child is at high-risk for hospitalization in the next 6 months defined using a novel EHR-based machine learning clinical predictive model , (5) EngA 3-step process will be The second step in recruitment\u2014assessment of clinical eligibility\u2014will be an assessment by each potentially eligible child\u2019s PCP to determine whether the child has complex needs that can benefit from additional CC support. If the PCP determines that more CC support would be beneficial, the study will be introduced to parents of children and youth with special health care needs during an upcoming PCP office visit or via a mailed recruitment letter.The third, final step of recruitment will be direct delivery of detailed study materials as a digital prescription . The digGuiding this study are 2 categories of extant theoretical frameworks focused on CC and evaluation . The 2 CTo complement these 2 CC frameworks, in this study we are also applying 2 theoretical frameworks focused on evaluation: the Technology Acceptance Model (TAM) and the Consolidated Framework for Implementation Research (CFIR). The TAM is a theoretical model widely applied in digital health research to explain adoption and use of new technologies by end users ; the TAMDespite potential for integration of CFIR with the TAM within digital health research , we are Selection of primary and secondary study outcome measures was guided by operationalizing the TAM-3 and CFIR theoretical frameworks as a study-specific logic model of hypothesized associations between mobile app use and process, proximal, and distal outcomes . Our stuA summary of quantitative measures is shown in Qualitative measures, data collection, and analytical procedures are summarized in A second source of qualitative data will be family engagement panels (FEP) with a group of parents of children and youth with special health care needs purposively sampled to reflect a diversity of lived experiences. FEPs are modeled after Community Engagement Panels, a consultative model that engages patients, families, and other community stakeholders for project-specific input . Rooted To address the study aim of identification and description of implementation determinants, we will use the MMR data integration method of embedding to link quantitative and qualitative data collection and analysis at multiple points within the intervention MMR study design ConsisteThe study protocol has been reviewed and approved by our institutional review board Duke Health (Pro00109514). Informed consent for eligible parents or caregivers will occur on their personal device. Eligible participants will review and sign the written electronic informed consent form prior to beginning the study. Participant confidentiality will be protected by collecting only information needed to assess study outcomes, and study data used for final summative quantitative analyses will be deidentified. All qualitative interviews will be conducted by a trained interviewer from the study team on the telephone, via video call (Zoom), or in-person. Interviews will be video-recorded or audio-recorded and transcribed; if an interviewee wishes to not be recorded, detailed notes will be taken instead. Parent or caregiver participants will receive US $50 compensation for completion of surveys ; participants who complete an interview will receive an additional US $50 compensation.Participant recruitment began in October 2022. We expect that data analyses will be completed by early 2024. We anticipate that quantitative and qualitative findings will address primary and secondary outcomes outlined in Analyses of pretrial quantitative and qualitative data gathered to-date have informed study procedures and design. A pretrial FEP was conducted in fall 2021 with 4 parents of children and youth with special health care needs. Formative qualitative feedback gathered during this first FEP informed changes to app design and user-facing materials, monetary incentives for study participation, and recruitment procedures. An initial EHR data analysis was conducted in January 2022 to estimate the size of the eligible population for the study. From a population of >40,000 children with primary care attributed to the 3 participating PCP sites, our preliminary analysis identified 317 patients who met all inclusion criteria based on available EHR data; it is expected that this sample will be of sufficient size to enroll the goal of 40 study participants to use the mobile app.We have used these preliminary quantitative and qualitative findings to refine study recruitment procedures. Specifically, based on feedback from parents of children and youth with special health care needs during the first FEP, recruitment procedures were revised to introduce the study to eligible patients directly during a PCP office visit instead of via automated web-based patient portal electronic messaging. Additionally, detailed patient-facing videos and written tutorials were developed in response to family requests for user-friendly onboarding materials. Quantitative estimate of the potentially eligible patient population led to procedural revisions so that PCPs will be familiar with study aims (to facilitate introduction of the study during office visits) and study materials can be delivered via digital prescription in order to better align with real-world clinical workflows.Findings from this study will characterize the feasibility and implementation barriers and facilitators (determinants) for a digital PHR mobile app used by parents of children and youth with special health care needs for CC in primary care settings. Novel study procedures that can contribute to the digital health literature include the protocol\u2019s use of digital prescriptions for participant recruitment. Additionally, application of MMR and implementation research methods offers a novel methodological approach that could address recent calls for innovative and pragmatic evaluation of digital health solutions .This study protocol describes a pragmatic approach for integrating theory into digital health study design by combining the established CFIR and TAM-3 frameworks ,32,33,38Similar to implementation science, methodological approaches from the MMR field that systematically integrate quantitative and qualitative data ,22 can gIn addition to integrating MMR and implementation science methods into digital health research, there are opportunities to streamline study procedures. For this protocol in particular, the use of digital prescriptions will be used to facilitate dissemination of study materials directly to eligible participants via existing web-based patient portal accounts. This approach may help improve study workflow efficiency and mitigate infectious risk in the face of the ongoing COVID-19 pandemic by reducing study personnel\u2019s reliance on in-person recruitment. Digital prescriptions are also positioned for future studies where they could facilitate scaled recruitment via automated delivery of study materials to large numbers of eligible patients identified by EHR data. Although a digital prescription-based approach is promising for study recruitment, caution should be exercised. More efforts are needed to close the digital divide , mitigatThis study has several limitations that should be acknowledged, including the study\u2019s single center design and limited size and scope. Smaller scope is necessary at this early stage to focus on feasibility and to gather in-depth feedback from participants that can inform subsequent app improvements. Additionally, our inclusion criteria that study participants have existing internet access, a digital device, and an active web-based patient portal account may introduce barriers to research participation. Factors that could mitigate these barriers include national-level data that demonstrated that 81% of US adults own a smartphone and dataDigital health tools have the potential to improve care and outcomes for children and youth with special health care needs; however, the evidence base is early in development. The methodological rigor of early phase digital health studies could be enhanced by incorporating novel study procedures and methods from research fields outside of traditional pediatric clinical trials. By doing so, strengthened conclusions from early phase digital health studies will be positioned to serve as foundations for future multisite prospective trials that measure effectiveness for health and implementation outcomes. Ultimately, these future directions can serve to accelerate the pace of investigation so that clinicians and families of children and youth with special health care needs will have the evidence base needed to determine the impact of new digital health tools on patient and family-centered outcomes.This study will evaluate the feasibility of integrating a FHIR-enabled digital PHR mobile app as a CC tool for children and youth with special health care needs into clinical care. Application of MMR and implementation science methods is anticipated to facilitate understanding of implementation determinants in primary care settings. The findings of this study are positioned to inform future pragmatic trials that can further advance knowledge of how to use digital health innovations for improving care and outcomes for children and youth with special health care needs."}
+{"text": "Editorial on the Research Topic[Application of stem cells in the treatment of myocardial infarction]Chen et al. with a follow-up period up to five months has demonstrated a significantly larger reduction in infarct size as well as better preservation of left ventricular function in animals having received left intracoronary arterial administration of human bone marrow-derived mesenchymal stem cells 90\u2005min after infarct induction compared to those without stem cell treatment, thereby paving the way for further clinical trials.Myocardial infarction remains one of the top killers in the developed world. In contrast to conventional coronary intervention in the treatment of ischemic heart disease, the use of stem cells has unleashed the therapeutic potential of a novel biological approach. Taking into account the similarity in cardiac anatomy and function between pigs and humans, a preclinical study using a porcine balloon-induced myocardial infarction model by Lai et al. identified functional maturation of stem cells and the application of biomaterials as potential hotspots in this research area, further highlighting the mutual positive influences between tissue engineering development and the clinical application of stem cells.Moreover, given that the goal of cardiovascular tissue engineering is to establish functional scaffolds with biologically compatible materials to provide a cellular environment for restoring the functions of damaged tissues or organs, the therapeutic potential of stem cells against myocardial infarction and ischemic cardiomyopathy has triggered the development in this discipline. A bibliometric analysis of 2,273 documents in the field of cardiovascular tissue engineering published in recent three decades conducted by Kawamura et al., which reported three patients with severely compromised cardiac function, revealed an improvement in heart failure symptoms without accompanying transplanted cell-related adverse events after one-year follow-up. Intriguingly, the authors also noted improved left ventricular contractility as well as myocardial blood flow in the three patients following three-month immunosuppressant administration. The results, therefore, support the safety of iPSC use in patients with severely compromised heart functions although further clinical studies are warranted to reinforce their findings.Besides, the clinical applicability of stem cell therapy is underscored by its ubiquity. In addition to common sources such as adipose tissue, blood, and bone marrow, induced pluripotent stem cells (iPSCs) generated directly from somatic cells have sparked a keen interest in research because of the promising implication of an unlimited supply of stem cells. Nevertheless, there have been concerns over the safety of iPSCs due to their malignant potential. To address this issue, a human clinical trial examined the feasibility of allogeneic induced pluripotent stem cell (iPSC)-derived cardiomyocyte patch in the treatment of ischemic cardiomyopathy. That study by Saito et al. attempted to test the feasibility of non-invasive in vivo tracking of transplanted cardiomyocytes derived from human iPSCs using the technique of nuclear medicine imaging. Human iPCSs, after being transduced with sodium/iodide symporter (NIS), were subcutaneously implanted into the animals. The resulting teratomas were successfully detected with single photon emission computed tomography (SPECT/CT) after six weeks, thereby reinforcing the applicability of this technique in tracing the implanted stem cells. Nevertheless, further studies are required to assess the effect of symporter transduction on stem cell function as well as the safety of radioactive tracer use.Another question regarding the use of iPSCs is their fate after administration. Utilizing an immunodeficient rat model, Luo et al. investigated the role of \u03b3\u03b4T cells in the process. The authors reported that IL-17A, which is the core cytokine of \u03b3\u03b4T-mediated immune response, could be protective against cardiac ischemia-reperfusion insult. The finding is of potential clinical interest as it bears significant immunological implications that may guide the direction of the development of appropriate stem cell strategies for treating myocardial infarction as well as the subsequent ischemia-reperfusion injuries that adversely impact the prognosis of this patient population. The intricate immunological network underlying cellular protection against myocardial ischemic diseases warrants further explorations. One further step that needs to be taken to complete the jigsaw puzzle is a deeper understanding of the biological mechanisms underpinning the observed stem cell therapeutic efficacy. Ischemia-reperfusion injury, the severity of which is proportional to the duration of ischemia of an organ followed by a restoration of blood flow, is known to involve the activation and release of inflammatory mediators and is common in patients experiencing myocardial infarction. In addition to the ischemic injuries from the initial myocardial infarction, ischemia-reperfusion contributes to further myocardial damage after resuming the patency of the obstructed coronary artery. To elucidate the underlying immunological mechanism, In conclusion, as evidence accumulates regarding the biomolecular mechanisms involved in the therapeutic effects of stem cells against ischemic heart disease, it is foreseeable that stem cell therapy will have a significant part to play in the treatment of myocardial infarction either alone or in combination with other interventional strategies. Notwithstanding the apparently encouraging outcomes from previous studies, further large-scale clinical trials are needed to consolidate the role of stem cell therapy as a routine evidence-based clinical practice."}
+{"text": "Pmmn borophene for incident infrared photons at room temperature. This work highlights the potential of two-dimensional tilted Dirac cone materials as a platform for tunable broadband optovalleytronic applications.Quasiparticles emerging in crystalline materials can possess a binary flavor known as the valley quantum number which can be used as a basis to encode information in an emerging class of valleytronic devices. Here we show that two-dimensional semimetals with tilted Dirac cones in the electronic band structure exhibit spatial separation of carriers belonging to different valleys under illumination. In stark contrast to gapped Dirac materials this optovalleytronic phenomenon occurs in systems with intact inversion and time-reversal symmetry that host gapless Dirac cones in the band structure, thereby retaining the exceptional graphene-like transport properties. We thus demonstrate that optical valley separation is possible at arbitrarily low photon frequencies including the deep infrared and terahertz regimes with full gate tunability via Pauli blocking. As a specific example of our theory, we predict tunable valley separation in the proposed two-dimensional tilted Dirac cone semimetal 8- The most celebrated example are electrons in graphene which behave as massless relativistic quasiparticles described by two inequivalent Dirac cones in the electronic band structure typically suffer from low electron mobility that hampers the efficiency of information transport across the device and ii) due to the presence of the gap it is inherently impossible to obtain optical control at low photon frequencies.The pseudo-relativistic nature of electrons bestows graphene with exceptional transport properties in the form of high electron mobility stemming from the suppression of back-scattering resulting from the Klein tunneling phenomenon15. As this mechanism of optical valley control is enabled by asymmetry in the band structure, the exciting light need not be polarized. Furthermore, the degree of valley polarization can be controlled via Pauli blocking which in 2D semimetals is readily tuned with a back gate. The spatial separation of photoexcited carriers belonging to different valleys results in an unequal valley population at opposite sides of the illuminating light spot. It is possible to reverse the sign of the valley polarization at a given side of the light spot by moving the Fermi energy from above to below the Dirac point; this can be practically achieved by tuning a back-gate voltage. We suggest that this effect can be detected by measuring the degree of circular polarization of the edge luminescence in a nearby gapped material16, which ideally could be the same material with locally broken inversion symmetry.In this work we provide a solution to these problems: demonstrating the spatial separation of photoexcited carriers at arbitrarily low photon energy belonging to different valleys in two-dimensional (2D) semimetals hosting tilted gapless Dirac cones in the electronic band structure see Fig.\u00a0. In starPmmn borophene19, an organic salt 20 and many more31. As a case study of our work we demonstrate tunable valley separation in the candidate type-I Dirac cone material 8-Pmmn borophene upon illumination of infrared photons at room temperature. In type-II Dirac cone materials, the super-critically tilted band structure results in the perfect spatial separation of valley carriers for a broad frequency range of unpolarized photons for arbitrary Fermi energies. As an extension to our theory we show that type-III Dirac cones will display enhanced spatial separation of valley carriers and emission of highly polarized terahertz photons via hot luminescence aided by the inclusion of carrier scattering.Tilted Dirac cones can be classified in to one of three varieties defined by the degree of tilt: sub-critically tilted (type-I) with closed elliptical isoenergy contours, critically tilted (type-III) with open parabolic isoenergy contours and super-critically tilted (type-II) with open hyperbolic isoenergy contours. Two-dimensional materials hosting tilted Dirac cones are an ever growing family with candidate materials including 8-q the radial wavevector and 32.We consider a 2D Dirac semimetal with tilted Dirac cones in the electronic band structure described by the Bloch Hamiltoniani) Initial and final states with wavevector ii) The transition rate describes the likelihood of an absorption event occurring at a given wavevector. For linearly polarized photons the transition rate is proportional to the absolute value squared of the expectation value of the velocity operator projected along the axis of polarization . We can now derive the squared velocity matrix element yielding37. The velocity matrix element is equivalent to that of non-tilted cones and hence is independent of both valley (iii) For an absorption event to occur we must ensure that the initial state is occupied and the final state is empty to avoid Pauli blocking. We define these conditions with the Fermi-Dirac distributions e) and holes (h) with Boltzmann constant T. Crucially, the regions of Pauli blocking are valley . This discovery sparked a desire for valleytronic components that in conjunction with the valley Hall effect could lead to valley-sensitive logic gates for classical and quantum computing applications7. In our work we demonstrate the spatial separation of valley carriers away from the light spot in gapless Dirac materials with tilted Dirac cones. Our discovery paves the way to the realization of novel valleytronic devices benefiting from the superior transport properties of massless Dirac fermions.The realization of the valley-polarized currents via the valley Hall effect provided the elementary building block for valleytronic devices in gapped Dirac cone materials (see review articles44. Combining these transport techniques with the optical spatial separation of valley carriers proposed in our work could enable the design of valleytronic components such as valley filters and switches in gapless materials. It may also be possible to further direct the propagation of valley carriers across graphene-based interconnects based on electrostatic waveguides46, quantum wire leads47 or gated junctions in externally applied fields48. Furthermore, the spatial separation of valley carriers in gapless tilted Dirac cone materials could be combined with valley-sensitive components of gapped Dirac cone materials such as valley transistors49 or decoding the valley index via emission of circularly polarized light16. This would require a detailed understanding of the transport phenomena occurring at the interface between gapless and gapped Dirac cone materials. It is well-known that placing graphene on a hexagonal boron nitride substrate induces a superlattice structure inducing local regions with pseudo-gaps52\u2014a similar technique for tilted Dirac materials should enable the seamless transport of valley carriers between gapless and gapped regions in the spectrum allowing valley index measurement. Whilst we suggest the use of a gapped region of the material to decode the valley index, before measurement, information transfer across the device will benefit from the superior transport properties of massless Dirac fermions as well as gate-tunable optical valley control. Lastly, the theoretical and computational predictions of two-dimensional materials hosting massless tilted Dirac cones are rapidly growing in number31. The experimental efforts aiming at realizing these materials are catching up55. We hope that the prospect of optovalleytronics put forward in our work will stimulate further research into massless tilted Dirac cone materials.With the recent burst of interest in massless tilted Dirac cone materials there have been several theoretical works investigating the valley-dependent transport of carriers traversing gated junctions, waveguides and external fieldsSupplementary Information."}
+{"text": "Diagnostics require precision and predictive ability to be clinically useful. Integration of multi-omic with clinical data is crucial to our understanding of disease pathogenesis and diagnosis. However, interpretation of overwhelming amounts of information at the individual level requires sophisticated computational tools for extraction of clinically meaningful outputs. Moreover, evolution of technical and analytical methods often outpaces standardisation strategies. RNA is the most dynamic component of all -omics technologies carrying an abundance of regulatory information that is least harnessed for use in clinical diagnostics. Gene expression-based tests capture genetic and non-genetic heterogeneity and have been implemented in certain diseases. For example patients with early breast cancer are spared toxic unnecessary treatments with scores based on the expression of a set of genes . The ability of transcriptomics to portray the transcriptional status at a moment in time has also been used in diagnosis of dynamic diseases such as sepsis. Gene expression profiles identify endotypes in sepsis patients with prognostic value and a potential to discriminate between viral and bacterial infection. The application of transcriptomics for patient stratification in clinical environments and clinical trials thus holds promise. In this review, we discuss the current clinical application in the fields of cancer and infection. We use these paradigms to highlight the impediments in identifying useful diagnostic and prognostic biomarkers and propose approaches to overcome them and aid efforts towards clinical implementation. Precision diagnosis recognises the individuality among patients in their clinical pathway by the simultaneous analysis of multimodal data with artificial intelligence . PrecisiThere is an unprecedented abundance of heterogenous data available at the clinical and molecular (-omic databases) level, but occasionally phenotypic information is incomplete to assist interpretation of high through-put data . The intIn the era of precision medicine, misdiagnosis is still common in clinical practice. In a US national epidemiologic study, serious diagnostic errors resulting in significant harm were higher for certain conditions such as spinal abscess, aortic aneurysm and dissection and lung cancer . A gold This narrative review attempts to summarise the potential benefits and challenges of implementation of transcriptomic-based technologies into clinical settings. Cancer (in particular breast cancer) and sepsis are the two areas where gene expression tests have been developed from bulk RNA exploration. We use these paradigms to highlight the impediments in identifying useful diagnostic and prognostic biomarkers and propose ways to circumvent difficulties in the translational pathway.The transcriptome is the total set of expressed RNA in a cell or population of cells at a specific time point. Mature messenger RNA (mRNA), which is the interim carrier of information between the genome and protein, is transcribed from a very small fraction (less than 2% to 3%) of cellular DNA . MultiplRNA is the most dynamic cellular component regulating gene expression through complex processes including transcription, maturation and degradation . TranscrTechnological advancements have enhanced our understanding of the transcriptome. Reverse transcriptase polymerase chain reaction (RT-PCR) is considered a gold standard for detecting qualitatively and quantitatively a limited number of transcripts . MicroarGene expression profiling provides an enormous amount of high-resolution data from a single experiment. The size of the human transcriptome remains debatable with the majority of it referred to as \u201cdark matter\u201d because its function is unknown . RNA-seqOver 100 genetic tests for 30 conditions in the field of oncology, haematology, genetic disorders and pharmacogenetics, have received FDA approval to date. Less than ten tests are based on RNA measurement and only four utilise gene expression profiles with more than two RNA targets .in vivo variability within a condition at a particular time-point and among patients. The hallmark of acute lymphoblastic leukaemia (ALL), for instance, is numerous genetic aberrations stratifying patients into prognostic and therapeutic groups . However, multiple mutations identified at the genome level may not be contributing to the disease. Transcriptome sequencing characterises clinically relevant genomic alterations and variants in real time with higher sensitivity compared to whole-genome sequencing and it has been crucial in the discovery of novel subtypes and therapy tailoring . Gene expression studies identified the Philadelphia chromosome-like ALL subtype and the downstream involvement of kinases guiding the use of tyrosine kinase inhibitors (TKI) .Molecular diagnostics focusing on the genome suffer from a limited ability to reflect accurately the Transcriptomics is explored as a complementary method to genomic testing for precision-based treatments in cancer patients . The WorLiquid biopsy of extracellular RNA (exRNA) has been embraced as a promising tool for screening and disease monitoring purposes and as an alternative to invasive methods of diagnosis such as tissue biopsy . AlthougIn breast cancer, patient stratification based on expression of tumour markers has guided treatment strategies for over 30\u00a0years laying tCommercially available assays, such as Oncotype DX , MammaPrint (Agendia), EndoPredict (Myriad Genetics) and Prosigna (Nanostring Technologies) are endorsed by the UK National Institute for Health and Care Excellence (NICE) and international guidelines . ExpressThe development of Oncotype DX was a gradual process involving the use of data from large clinical studies and diligent address of issues . Due to Oncotype DX and the Decipher Genomic Classifier have been shown to be cost-effective approaches for guidance of treatment decisions . This reFollowing on from the success of the oncotype Dx for early breast cancer, the Oncotype DX Genomic Prostate Score has been developed on the same principles and similar processes . It aimsDisease heterogeneity is a major caveat in the design of diagnostic biomarkers. Inter-assay comparisons revealed discordance in prognostic performance of gene expression-based tests for stratification of patients with early breast cancer . These dHeterogeneity at the tissue level is multi-layered and not confined to the oncogenic cells. Neoplastic cancer cells are nurtured by neighbouring stromal cells comprising the tumour microenvironment (TME). A diverse community of tumour infiltrating immune cells is a major component of the stromal microenvironment exerting both beneficial and detrimental effects . Growingin silico deconvolution ; and\u2022 \u2022 gene set enrichment analysis .By contrast, gene expression profiling coupled with computational algorithms can characterise cell composition of complex tissues . Many toDeconvolution is based on a linear model of the expression of a gene in the different cell types. Digital dissection of the tumour into the relative fractions of cell types is estimated against a library of cell-specific expression signatures (reference signature or matrix). The matrix appears rigid considering the diversity of infiltrating immune cells among tissues and cancer stages . Refinem+ tumour infiltrating lymphocytes is well established in melanoma, renal and non-small cell lung cancer and it has guided the use of immune check point inhibitors (ICIs) CD8s (ICIs) . Tumour-s (ICIs) .Immune response to infection is initiated by a \u201cgenomic storm\u201d of both pro-inflammatory and anti-inflammatory cytokines expressed concomitantly . In sepsTo address individual variation in the response to sepsis, a multi-layered approach, including at the molecular level, for stratification in treatment subgroups is required. As a proof-of-concept, machine learning algorithms which classify patients based on routine clinical data have been shown to accurately predict clinical outcomes and sepsis onset . MachineTranscriptomic-based real-time subclassification of patients has been developed and validated in individual studies . The KniThe Molecular Diagnosis and Risk Stratification of Sepsis (MARS) project identified four endotypes (Mars1\u20134) in patients with sepsis admitted to ICU in the Netherlands . BiomarkPaediatric patients with septic shock were categorised into three groups based on a 100-gene set microarray-derived signature . Two A . The autn = 1,300) identified three clusters which were descriptive of underlying molecular pathways, the Inflammopathic, the Adaptive and the Coagulopathic and the transfer of transcriptomics knowledge to routine clinical care may be seen in the near future and complex mathematical algorithms resulting in computational chaos. Hence, findings require vigorous confirmation with the use of conventional methods to monitor processes or validate results technically and clinically. To this point, study design is paramount. Discovery studies should aim to address specific and clinically relevant questions with patient stratification into prognostic and/or treatment groups through novel diagnostic tools which outperform standard practice. Validation should be driven by large prospective randomised clinical trials and population-based studies. Our increasing knowledge of the properties of the transcriptome and its regulators is our ally in all steps of the journey of developing improved diagnostic tools . Breast"}
+{"text": "Imaging in the freely moving animal gives unparalleled access to circuit activity as the animal interacts with its environment in a self-guided way. Over the past few years, new imaging technologies have enabled the interrogation of neuronal populations located at any depth of the cortex in freely moving mice while preserving the animal\u2019s behavioral repertoire. This commentary gives an updated overview of the recent advances that have enabled the link between behavior and the underlying neuronal activity to be explored. This is an important constraint and requires not only that the total weight of the microscope is well below 10% of the animals\u2019 weight but also that head-motion is not restricted. To achieve this a key challenge in the design of head-mounted microscopes is the management of cable-bundle flexibility.,,\u2013,Recent advances in remote focusing mechanisms for head-mounted microscopes have enabled changes in the imaging plane depth during free behavior,iber tip . This wo,Head-mounted microscopes allow for long-term recording from hundreds of cortical neurons over multiple days, and they can sample from neuronal populations spread throughout the cortical depth during a wide range of complex behaviors. Although specific distortion issues of miniature optics and scanners have been recently addressed,"}
+{"text": "Cardiovascular diseases (CVDs) remain the leading cause of morbidity and mortality in developed countries and encoIn the Research Topic\u2014\u201dThe Role of Circulating Immune Mediators in the Crosstalk Between Cells of the Immune System and Cardiovascular System in CVDs\u201d, we provided a platform for exposing the main advancements in the ongoing CVD research. Six papers including both reviews and original articles are published in the volume.Li et\u00a0al. described the role of the endothelial glycocalyx (eGCX) in lung diseases mainly focusing on the hepatopulmonary syndrome (HPS). The eGCX is a carbohydrate-rich layer lining the vascular endothelium. It is formed by soluble plasma components, bound together either directly or via soluble proteoglycans and/or glycosaminoglycans. The composition of eGCX is dynamic due to enzymatic degradation, de novo biosynthesis of new molecules and recruitments of soluble molecules from the bloodstream in a large cohort of ASCVD individuals. Of note, the SII combines the neutrophil/lymphocyte and platelet/lymphocyte ratios thus taking into account both immune and non-immune cells involved in the pathogenesis of atherosclerosis causes postoperative atrial fibrillation (POAF) via two parallel mechanisms. They previously reported that IL-6 predisposes to atrial fibrosis and fibrillation by inducing cardiac fibroblast activation release TF enriched EMVs (TF-EMVs) that target monocytes and induce their differentiation into EC-like cells (A new frontier of inflammation-correlated circulating factors is represented by the release of extracellular microvesicles (EMVs). EMVs could be characterized by the presence of tissue factor (TF) on their external surface that is able to guide them to specific target tissues. ke cells . With thThis Research Topic highlighted the complexity of the interaction between circulating inflammatory mediators and CVDs. Interestingly, the papers published in the current volume cover the study of this interaction in distinct pathological conditions that affect eventually the cardiovascular system. Even though the overall big picture leads to a common take home message that focus the attention on inflammatory mediators as putative prognostic and pathogenic co-factors, the extension to new direct and undirect mechanisms played by distinct cytokines point out to the necessity of further studies.AA, VB and AR wrote and edited the manuscript. All authors contributed to the article and approved the submitted version."}
+{"text": "A COVID-19 vaccine awareness campaign conducted by Sudanese doctors helped to mitigate vaccine hesitancy among Sudanese diaspora groups in the United Kingdom. Diaspora health care professionals can assist in mitigating COVID-19 vaccine hesitancy for members of their respective diaspora communities who share similar ethnocultural characteristics and societal environments.The campaign\u2019s diversification of speakers, methods, and educational platforms coupled with constant reinforcement of positive messages were critical to harnessing motivation among diaspora minorities with an engendered feeling of mistrust in the vaccine development and deployment process.The unmediated interaction and crossover of false information between groups of the same ethnic and cultural backgrounds living abroad and those living in their home countries impacts global vaccine uptake and requires attention.The use of health care professionals from the same societal and cultural background to alleviate vaccine hesitancy among ethnic minorities should receive more support and investigation. People from ethnic minority groups are at risk of adverse sequelae of COVID-19, but their vaccine acceptance and enrollment rates remain suboptimal. Diaspora communities are unique in that they continue to engage in epistemic networks related to vaccination with dwellers in their country of origin. We describe the COVID-19 vaccine awareness campaign we conducted from January 2021 to November 2021 for Sudanese diaspora groups in the United Kingdom and the various techniques and methods used by health care professionals from the same ethnocultural background to address vaccine reluctance among this cohort. We explore the impact of our joint efforts with local authorities in Sudan to overcome the initial barriers to the national vaccination program in Sudan. The influence of the intercommunication between the diaspora and their relatives at home regarding COVID-19 vaccine misinformation is also discussed. Finally, we highlight these observations as key areas for future research to improve the global impact of vaccine deployment in pandemic situations. While the literature generally refers to groups reluctant to receive the COVID-19 vaccine as \u201chesitant,\u201d emerging evidence suggests that those who are \u201ccompletely resistant\u201d constitute a distinct group from the hesitant or indecisive cohort.Understanding the complex continuum of vaccine hesitancy is essential to appreciate why awareness campaigns may not always lead to vaccine acceptance.Evidence emerged from previous experiences indicating that immigrant populations may experience higher rates of non-COVID-19 vaccine hesitancy. For instance, the uptake rate of the measles-mumps-rubella vaccine among the Romanian diaspora in the United Kingdom was low due to cultural differences as well as convenience barriers such as difficulty in registering with general practitioners.Since the COVID-19 vaccination campaign started, significant emphasis has been placed on strategies focused on appropriate community engagement and culturally tailored communication to help mitigate possible vaccine concerns.The Sudanese community in the United Kingdom is considered the oldest and among the largest Sudanese diaspora groups in the Global North and includes, according to the last UK census, about 24,000 Sudanese-born residents.BOX 1Methods and Platforms Used to Raise Awareness and Debunk COVID-19 Vaccine MisinformationLive-streamed interactive sessions using the various social media platforms.Illustrative posters with infographics using simple language with the native dialect.Short, easily distributable videos addressing misconceptions/misinformation.Provision of technical and policymaking support to Sudan\u2019s national COVID-19 vaccine program.Joint update sessions with representatives of Sudan\u2019s Ministry of Health and the World Health Organization Sudan\u2019s Office.,The content of the awareness campaign was produced by expert UK-based Sudanese doctors specialized in infectious diseases, virology, and public health. Involving health care professionals from the same cultural background enables the implementation of educational programs that can conceivably diminish feelings of cultural conspiracy among vulnerable diaspora communities. In scenarios such as global vaccination campaign rollouts, trust involves 2 components: (1) the relationship between individuals and (2) the relationship between individuals and a system. The latter is linked to a long history of structural racism and medical abuses against Black populations,,To promote engagement with the targeted audience, the campaign occasionally adopted an approach of embedding positive vaccination messages within a broad health awareness session, beginning with the provision of general health and well-being advice before moving on to the subject of COVID-19 . This apBOX 2Principles and Concepts Adopted in the COVID-19 Vaccine Educational CampaignDiversifying the methods of delivering the educational campaign.Addressing the influence of Sudanese diaspora communities on their families and friends living in their native country (and vice versa) and the crossover of misinformation between the 2 groups.Ensuring responsiveness, adaptability, and readiness to tackle constantly emerging misconceptions and false information.Embedding COVID-19 vaccination awareness messages as part of general health awareness sessions to prevent immediate rejection by the audience.Conducting ongoing debates and discussions among Sudanese health care professionals, particularly those who may be hesitant themselves.Liaising and combining efforts with community champions and refugee organizations.Targeting hesitancy among specific groups (children and pregnant women).One of the most challenging aspects of the vaccination awareness campaign was the dynamic evolution of misinterpretations and constant emergence of data regarding the safety and efficacy of vaccines. Such developments demanded close monitoring and a swift response to address false material being promulgated in the media, as well as a high degree of adaptability and fluidity within our awareness campaign for the Sudanese community. We made an additional, peculiar observation\u2014the intercommunication and interactions of diaspora communities with people in their native countries through readily accessible social media platforms meant that any anxieties or misinformation about the vaccines would propagate momentously and spill over from 1 group to the other, despite geographical distances. The similarity in risk perception of COVID-19 among the African diaspora in high-income countries and those living in Africa was documented in earlier studies, raising the possibility that this may also apply to COVID-19 hesitancy.Diaspora communities may retain their vaccine-related misbeliefs and concerns from before they immigrated or continue to be influenced by anti-vaccine campaigns in their native country.Our doctors\u2019 union was notably involved in supporting the COVID-19 vaccination campaign in Sudan in its initial phase and providing guidance to local health authorities since the arrival of the first batch of COVID-19 vaccines in the country.Although it was challenging to evaluate the outcomes or gauge the specific impact metrics of our vaccination campaign, pre/post questionnaires during the live-streaming sessions revealed an increase in knowledge about the vaccine and improved readiness to enroll in the vaccination program. Moreover, the social media videos were viewed by a total of over 42,000 viewers. We also observed that the reach of these sessions extended to Sudanese diaspora groups from other European countries. Locally, our conjoined endeavors with the national vaccine program in Sudan led to the successful and timely distribution of the first batch of vaccines allocated to Sudan through the World Health Organization\u2019s COVID-19 Vaccines Global Access initiative, with 98% of the 828,000 initial doses administered before the set deadline. This enabled the country to benefit from further funding and vaccine allocations.Addressing COVID-19 vaccine hesitancy among diaspora and ethnic minority groups can be complex and should involve vigilant consideration of the unmediated interaction and sharing of misinformation between groups of the same ethnic and cultural backgrounds living abroad and those living in their home countries. The global impact of this synergy and interaction on vaccine uptake deserves careful attention and systematic examination. The influence of networking between similar diaspora groups in distinct geographical areas on vaccine hesitancy also merits investigation. Finally, the role of health care professionals from the same ethnocultural and societal environments in alleviating vaccine hesitancy among ethnic minorities is vital and should receive more support."}
+{"text": "The authors regret the omission of a funding acknowledgement in the original article. This acknowledgement is given below.Venkata Ram Gannavarapu would like to acknowledge support from the Institut Curie 3-i PhD Program under the Marie Sk\u0142odowska-Curie Grant Agreement No. 666003.The Royal Society of Chemistry apologises for these errors and any consequent inconvenience to authors and readers."}
+{"text": "Cataglyphis desert ants possess excellent navigational skills. After far-ranging foraging excursions, the ants return to their inconspicuous nest entrance using celestial and panoramic cues. This review focuses on the question about how na\u00efve ants acquire the necessary spatial information and adjust their visual compass systems. Na\u00efve ants perform structured learning walks during their transition from the dark nest interior to foraging under bright sunlight. During initial learning walks, the ants perform rotational movements with nest-directed views using the earth\u2019s magnetic field as an earthbound compass reference. Experimental manipulations demonstrate that specific sky compass cues trigger structural neuronal plasticity in visual circuits to integration centers in the central complex and mushroom bodies. During learning walks, rotation of the sky-polarization pattern is required for an increase in volume and synaptic complexes in both integration centers. In contrast, passive light exposure triggers light-spectrum dependent changes in synaptic complexes upstream of the central complex. We discuss a multisensory circuit model in the ant brain for pathways mediating structural neuroplasticity at different levels following passive light exposure and multisensory experience during the performance of learning walks.Efficient spatial orientation in the natural environment is crucial for the survival of most animal species. Cataglyphis are excellent experimental models to study the mechanisms underlying insect navigation . Desert ants of the genus n Wehner , 2020. TOcymyrmex or Melophorus and non-desert ant species like Myrmecia bull ants and Formica wood ants in visual circuits of the ant\u2019s brain triggered by multisensory experience during learning walks that are performed during a sensitive period before the onset of foraging behavior. Most studies on neuroplasticity have been done in Cataglyphis ants. We complement these by looking at select neuroanatomical, neurophysiological, and behavioral studies on multisensory pathways in the brain of other insects. This synthesis aims at understanding the neuronal circuits mediating multisensory experience during learning walks and at stimulating future studies to unravel the neuronal mechanisms underlying the striking flexibility of navigational systems in the brain of these remarkable navigators.In the present review, we integrate results from studies on learning walks with a special focus on Cataglyphis foragers use path integration to return to their nest on the shortest distance possible by integrating directional (compass) and distance information. The resulting home vector leads the ants back to their nest entrance along an almost straight path that na\u00efve ants perform before they head out on their first foraging excursions systematically acquire and memorize nest-directed panoramic views around the nest entrance learning walks, at a time when the celestial compass has not yet been calibrated? To ask whether na\u00efve ants nevertheless use the sun as a compass for path integration during their short learning walks, different filter settings above the nest entrance were used to manipulate relevant skylight cues and the central complex (CX) memories, whereas path integration information expresses a faster memory decay. This early discovery was already highly suggestive of two distinct channels for visual information transfer and proceeds via the lamina, medulla, and lobula along the anterior optic tract (AOT) to the anterior optic tubercle active zones (synaptic contacts) connected to numerous dendrites of postsynaptic Kenyon cells (the MB intrinsic neurons) forming microglomerular synaptic complexes without any further relay to the visual compartments (collar) of the MB and was termed MB pathway of the JO in the antenna of Before we draw further conclusions on the role of multisensory convergences in these neuropils in the ant\u2019s central brain, the next chapter reviews the results from experimental manipulations of sensory input during the performance of learning walks in the natural habitat, particularly their consequences for neuroplastic changes along the two visual pathways described above.Recent studies have applied various manipulations of sensory input during learning walks in the natural habitat and subsequently screened the brains of the experimental ants for neuroplastic changes in visual circuits along the CX and MB pathways and learning-related visual experience during learning walks . Na\u00efve ants experience light for the first time when they reach a point in their natural ontogeny where they approach the nest entrance for the first time from the inside of the nest and when ants, for example during nest-building activities, perform so-called short digging walks to expel material from the interior of the nest to the outside of the central body in the CX are GABAergic during learning walks panoramic cues. Previous studies have shown that a minimum requirement of time (at least 2\u00a0days) and space (at least 0.5\u00a0m distance from the nest entrance) are required to learn the panoramic scenery around the nest function of the solar ephemeris to the internal clock Wehner . NeuronsCataglyphis brain suggests a prominent role of this part of the CX in multisensory integration and modulation of spatial orientation.Like in other Hymenoptera, olfactory information in Cataglyphis, projections in the posterior slope are in very close apposition with input from ocellar interneurons from the JO, and, although still speculative, potentially magnetosensory information from the JO (Fleischmann et al. Cataglyphis it is still an open question how information from the posterior slope and ventrolateral neuropils might be relayed to the CX, several pathways shown in Drosophila provide potential candidates. For example, connections of auditory circuits from the JO to the CX (Lai et al. Drosophila revealed connections between the CX and lateral accessory lobe with the posterior slope and other neuropils in the central brain (Hadeln et al. Cataglyphis might be relevant for plasticity in CX neuropils observed during the active performance of learning walks under a rotating sky-polarization pattern, while the ants use the earth\u2019s magnetic field as a compass reference (Fleischmann et al. Cataglyphis brain atlas will be a helpful tool for such experiments (Habenstein et al. Cataglyphis brain (Habenstein et al. Where does information from the JO converge with visual information and how could it be relayed to the CX? Interestingly, in both the honeybee and Cataglyphis ants. Clearly, future tracing studies are necessary to characterize these pathways. However, as the CX circuitry appears to be highly conserved across insect taxa (Strausfeld Cataglyphis ants represent a most exciting field for multidisciplinary neuroethological research aimed at elucidating the ontogeny of spatial orientation in a highly skilled insect navigator.The connections between the output from the CX and MBs to premotor centers have not yet been investigated in"}
+{"text": "Spatially Fractionated Radiation Therapy (SFRT) is a form of radiotherapy that delivers a single large dose of radiation within the target volume in a heterogeneous pattern with regions of peak dosage and regions of under dosage. SFRT types can be defined by how the heterogeneous pattern of radiation is obtained. Immune checkpoint inhibitors (ICIs) have been approved for various malignant tumors and are widely used to treat patients with metastatic cancer. The efficacy of ICI monotherapy is limited due to the \u201ccold\u201d tumor microenvironment. Fractionated radiotherapy can achieve higher doses per fraction to the target tumor, and induce immune activation (immodulate tumor immunogenicity and microenvironment). Therefore, coupling ICI therapy and fractionated radiation therapy could significantly improve the outcome of metastatic cancer. This review focuses on both preclinical and clinical studies that use a combination of radiotherapy and ICI therapy in cancer. Spatially Fractionated Radiation Therapy (SFRT) is a form of radiotherapy that delivers a single large dose of radiation within the target volume in a heterogeneous pattern with regions of peak dosage and regions of under dosageunderdosing. SFRT types can be defined by how the heterogeneous pattern of radiation is obtained. There are many ways to deliver heterogeneous radiation based on this concept. GRID therapy is the oldest form of SFRT and was introduced by Kohler in 1909 The 3D LATTICE radiotherapy (LRT) Microplanar beam radiation therapy is another form of spatially fractionated radiotherapy. In Microbeam Radiation Therapy (MRT) Microbeam Radiotherapy is another Novel Therapeutic Approach that has been investigated to Overcome Radioresistance and Enhance Anti-Tumour Response in Melanoma Abscopal effect refers to disappearance or reduction of tumor lesions outside of the field of irradiation A novel SBRT-based PArtial Tumor irradiation of HYpoxic clonogenic cells (SBRT-PATHY) has been developed to enhance the radiotherapy therapeutic ratio of advanced bulky tumors by sparing the peritumoral immune microenvironment and regional circulating lymphocytes. It has been shown SBRT-PATHY can mediate the bystander (BE) and abscopal effects (AE).Hence, SBRT PATHY is another novel form of SFT that has been pioneered by Tubin et al in recent years SCART is another novel approach for induction of tumor immunogenicity that has been pioneered by Radiobiological effects: Radiobiological mechanisms of SFRT radiation action proceed through a number of processes with non-linear dose\u2013response curves at low doses. These can be broadly classified as Non-immune and Immune effects:Non-immune effects: Dose-volume effects: At its simplest, this is the relationship between the radiation doses that cause the same probability of a certain acute or late normal tissue damage and the irradiated proportion or the irradiated volume of the investigated tissue or organ DNA damage: The primary method of cell killing and damage done by radiation is based on the ability of ionizing radiation to damage DNA. This DNA damage can create irreparable base pair mismatches within the nucleus of the cell. There are two main methods in which DNA is damaged by ionizing radiation, direct and indirect damage. Direct damage occurs when the radiation interacts directly with the DNA strand. Indirect damage occurs when the radiation first interacts with the water in the nucleus of the cell creating a free radical. That free radical can then go forward and damage DNA. Indirect damage is more common in low linear energy transfer (LET) forms of radiation like photons or x-rays. Oxygen plays a role in the ability of a cell to repair DNA damage. When DNA damage occurs, Oxygen has the ability to react with the DNA strand at the location of the damage preventing the repair, one of the many cellular responses to DNA damage. While this occurrence in healthy tissue is an unfortunate reality, it plays a large role in the effectiveness of radiation therapy in tumor cells. The oxygen enhancement ratio or (OER) is a concept that proves the importance of oxygen concentration in cell kill with radiation. Microvascular alterations: Vascular, transvascular, and interstitial transport are affected by fractionated radiation, but that modulation is not consistent. Total doses above 45\u00a0Gy can damage tumor microvessels, while doses up to 40\u00a0Gy tend to have inconsistent effects on microvasculature. Immune effects: Findings from several preclinical studies using various animal models have suggested that the highly heterogeneous dose deposition achieved with SFRT is associated with a superior immunological response in tumor tissue as compared to homogenous radiation doses Local effects: Radiation-induced bystander effects: the phenomenon in which non irradiated cells exhibit effects as a result of cell communication Radiation therapy causes a type of sterile tissue injury, and radiation-induced inflammation is regulated by complex interactions among a variety of immune mediators which can durably reshape the immune response Radiation can modify the response of the immune system by immune stimulation or immunosuppression Abscopal effects and bystander effects are hypothesized Immune suppressive effects: Radiation therapy can induce various immune suppressive effects.Immune stimulatory effects: Radiation therapy can also evoke immune stimulatory effects Distant effect: The \u2018RadScopal\u2019 effect arises as a consequence of radiation directed to part of the primary tumor, and may be accompanied by low-dose RT towards secondary lesions. It has been proposed that this double form of radiation, combined with ICIs, might be able to modulate the TME of both primary and secondary tumors, maximizing the anti-tumor immune responses Anti-Tumor Immunity Elicited by SFRT in Pre-clinical Studies: The radiation scheme of SFRT results in the administration of ablative- and low-dose irradiation in different regions. In conventional radiation therapy the combination of a single, high ablative dose followed by subsequent lower doses can convert the immunosuppressive microenvironment to a more immunogenic one with increased infiltration of immune effector cells and a downregulation of regulatory T cells Microbeam radiation therapy (MRT) has been compared against broad beam radiation therapy (BBRT) in murine mammary carcinoma models. MRT treated mice had a general decrease in tumor-associated-macrophages (TAMs) while the BBRT group had increased TAMs relative to the un-irradiated controlsAthymic nude mice injected with F98 glioma cells into their right cerebral hemisphere were exposed to pencil beam or microbeam irradiation and showed significant abscopal effects in their bladders The Radiation Induced Abscopal Effect (RIAE) might be due to modulation of the tumor immune environment, or through triggering systemic immune responses. Single-fraction spatially fractionated radiation therapy (SFRT) significantly delayed unirradiated distant tumor growth in a mice Xenograft lung tumor model. LRT induced increased secretion of inflammatory cytokines in mice serum. Interestingly, infiltration of CD3\u00a0+\u00a0T cells increased significantly in the right-sided unirradiated tumor after irradiation with LRT to 50\u00a0% tumor volume in the left-sided leg tumor. This finding suggested that cellular immunity might play a role in LRT-triggered AR. Furthermore, What is more interesting was that high-dose partial volume irradiation with LRT resulted in increased CD3 T-cell infiltration in the unirradiated tumor, compared with whole tumor volume irradiation. Thus, partial tumor irradiation might activate the host immune system in a different manner compared with whole tumor volume irradiation Fractionated but not single-dose radiotherapy has been shown to induce an immune-mediated abscopal effect when combined with anti-CTLA-4 antibodies in TSA mouse breast carcinoma and MCA38 mouse colon carcinoma models Anti-Tumor Immunity Elicited by SFRT in Clinical Studies: Hypofractionated radiotherapy (HFRT) can raise inflammatory cytokine levels more than compared to conventional fractionated radiotherapy Mohiuddin et al. Formenti and Demaria In SFRT using microbeam therapy, GRID or LATTICE in animal models, a strong bystander effect has been shown in unirradiated tumor cells adjacent to cells exposed to high dose radiation Since the immune system plays an important role as the mediator/effector of RIBEs/RIAEs, SBRT-PATHY planning considers peritumoral immune microenvironment and the circulating regional lymphocytes as the new organ at risk that should be spared by radiation and \u2018protected\u2019 by its own dose constraints. In this published study, the bulky tumor control rate (RIBE response rate) among patients with unresectable NSCLC treated exclusively with SBRT-PATHY was 95\u00a0%. RIAEs were seen in 45\u00a0% of patients. The authors reported on possible relationship between RIBE and RIAE, stating that a significantly higher AR rate has been seen in patients in which more intense RIBE occurred . SBRT-PATHY concept implied that for successful therapeutic immune modulation, the entire tumor volume may not need to be irradiated. This should initiate more optimal antigen shedding, increase effector T-cell activation, and lead to favorable alterations in radiation-spared peritumoral immune microenvironment. Recently, an Italian group also confirmed the efficacy of SBRT-PATHY in their initial experience. Results from preclinical mouse models from Memorial Sloan Kettering Cancer Center also support the hypothesis behind SBRT-PATHY. The authors investigated tumor response to partial irradiation in 67 NR murine orthotopic breast tumors in both immunocompetent and nude mice. Partial tumor irradiation with a single dose of 10\u00a0Gy delivered to half of the tumor led to reproducibly inducible antitumor immune responses that eliminates the entire tumor in immunocompetent mice, but not in nude mice. In addition, a significant RIAE was observed after partial irradiation with a single dose of 10\u00a0Gy. The results of this study were comparable to those previously achieved in the clinic by using SBRT-PATHY The studies highlighted in this section show that spatially fractionated radiation renews or enhances an immunological response: The timing for combining radiotherapy and immune checkpoint inhibition therapy could also affect the response from of the combination therapy. Preclinical studies on this are not conclusive about the optimal timing from with studies that suggesting concurrent therapy is better SFRT and Immunomodulation/Immunotherapy in Clinical Studies: Conventional radiotherapy and fractionated radiotherapy by itself can function as an immunomodulator We have presented evidence in the previous sections for immune activation with high dose radiation and for preclinical studies where various SFRT is combined with immunotherapy. Other reviews Summary: SFRT has the potential to overcome tumor radio resistance and modulate the local immune response, which could lead to significant improvement in tumor control locally, regionally, and distantly while preserving healthy tissues. Combining this with immune checkpoint inhibitors is a promising strategy for treating metastatic cancers and can trigger abscopal effects. We have discussed here the anti-tumor immunity elicited by fractionated radiotherapy and its role in immunomodulation. Wide acceptance of this combinatorial treatment will require further research to optimize the fractional radiotherapy and immune checkpoint therapy parameters that would allow for maximizing an immune response while still reducing the adverse effects of radiotherapy. It is reasonable to hypothesize that radiation could modulate immune functions in its applications such as dose, fractionation size, tumor site and size, and location of nearby organs at risk.peri-tumor microenvironment.If the hypothesis is proved, radiomics and genomics studies would be valuable to elucidate the effect of radiation in human body in a systematic manner. On occasions, it is difficult or impractical to deliver the higher dose per fraction ideal for eliciting an anti-tumor immune response due to tumor size or location. Under these circumstances, RT may be delivered by irradiating a fractional tumor volume. Spatially fractionated radiation therapy (SFRT) is a way to deliver radiation to a whole or partial tumor with inhomogeneous radiation dose. We suspect that anti-PD-1/anti-PD-L1 combination with SFRT will be translated into meaningful Phase II and Phase III trials and lead to improvement in outcomes for metastatic patients. Knowledge of radiotherapy causing increased antigen shedding and increased expression of neoantigens paved the pathway for combination approaches with anti-CTLA-4. Similarly, advances in checkpoint agonists and cytokines may also provide additional avenues of combination trials with radiotherapy. Future trials should incorporate these immunotherapy agents with modern radiotherapy and use a more biologically targeted, organs at risk sparing approach, which may include the The authors declare that they have no known competing financial interests or personal relationships that could have appeared to influence the work reported in this paper."}
+{"text": "Pituitary adenomas are benign neoplasms of the pituitary. The most prevalent are prolactinomas and non-functioning pituitary adenomas, followed by growth hormone- and ACTH-secreting adenomas. Most pituitary adenomas seem to be sporadic and their persistent growth is very atypical. No molecular markers predict their behavior. The occurrence of pituitary adenomas and malignancies in the same patient can be either pure coincidence or caused by shared underlying genetic susceptibility involved in tumorigenesis. Detailed family history on cancers/tumors in the first, second and third generation of family members on each side of the family has been reported in a few studies. They found an association of pituitary tumors with positive family history for breast, lung and colorectal cancer. We have reported that in about 50% of patients with pituitary adenomas, an association with positive family history for cancer has been found independent of secretory phenotype . We also found earlier onset of pituitary tumors (younger age at diagnosis of pituitary tumors) in patients with a strong family history of cancer. In our recent unpublished series of 1300 patients with pituitary adenomas, 6.8% of patients were diagnosed with malignancy. The latency period between the diagnosis of pituitary adenoma and cancer was variable, and in 33% of patients, it was longer than 5 years. Besides the inherited trophic mechanisms (shared underlying genetic variants), the potential influence of shared complex epigenetic influences is discussed. Further studies are needed to better understand if patients with pituitary adenomas are at increased risk for cancer. Pituitary adenomas are usually benign neoplasms arising from anterior pituitary cells, grow slowly and usually change little in size over many years. The autopsy and MRI studies showed that 10\u201315% of patients with no history of pituitary disease had previously undiagnosed pituitary tumors, incidentalomas and clinically relevant pituitary tumors . EpidemiSDHA, SDHB, SDHC, SDHD, MAX, TMEM 127) and other conditions . In this review, we will not discuss these hereditary syndromes.The number of genetic factors linked to pituitary tumors is very small. Usually, pituitary tumors may be diagnosed as a part of hereditary endocrine neoplasia, such as multiple endocrine neoplasia types 1 and 4, familial isolated pituitary adenomas, succinate dehydrogenase mutations /insulin-like growth factor 1 (IGF-1) axis and cancer risk is complex. Experimental studies showed that GH and IGFs have pro-mitogenic and anti-apoptotic properties and have an important role in growth, metabolism, control of cell cycle and chemoresistance . ExperimMany studies showed that high-normal serum IGF-1 levels may be associated with an increased risk of malignancy in the general population overexpression , but it is associated with age and family history of cancer had non-functioning pituitary adenoma. Clinical characteristics and type of malignancy in these patients are presented in n\u2009\u2009= 2795) have an increased overall risk of developing malignancies (only men) and increased incidence of neoplasms of the brain, skin and melanoma /breast cancer gene 2 (BRCA2) mutation and was positive.There are 21 reported cases and series in the literature on metastasis of malignancy to a pituitary non-secreting-gonadotroph adenoma, reminding us of the coexistence of two diagnoses and the need for the correct solution of the relationship and the other female patient had congenital hypopituitarism and both were diagnosed with a pituitary tumor (prolactinoma) in adulthood and a female patient with congenital hypopituitarism (combined pituitary hormone deficiency - CPHD) due to PROP1 (pituitary homeobox protein prophet of the Pit 1 gene mutation) who both developed in adulthood well-differentiated pituitary adenoma \u2013 prolactinoma. The latency period before the diagnosis of prolactinoma for the male patient with KS was 25 years, while for the female patient with PROP1 mutation was 10 years..These authors state that it is unclear how the PIT-1\u03b2 mutation is associated with the development of prolactinoma and that there is no clear explanation regarding the possible mechanism for the association between developmental hypothalamic\u2013pituitary disorders with the development of pituitary tumors. Are they separated and potentially unrelated disease processes that may occur concomitantly or not is to be shown in further studies We should not dismiss reports that mutations in early developmental transcription factor such as SOX2 are associated with slowly progressing hypothalamo\u2013pituitary tumor compared to other tumors and another study showed that all functional pituitary tumors demonstrated higher variability in copy number profiles cancer-testis antigen (CTAG2) involved in cellular movement, highly expressed also in invasive breast cancer; (3) creatine transporter (SLC6A8) involved in creatine metabolism will overtake smoking and alcohol as modifiable cancer risk factors. \u2018Insulin resistance\u2019 (observed in obesity and type 2 diabetes mellitus) does not apply equally to all of insulin\u2019s actions. Adverse trophic actions of the high insulin concentration in insulin resistance required to maintain euglycemia have been reported. These trophic actions of increased insulin actions in different tissues are in particular observed in ovaries in patients with polycystic ovary syndrome (AIP gene (Aryl hydrocarbon receptor-interacting protein) originated from the discoveries that inactivating germline AIP mutations are associated with occurrence of pituitary adenomas . This suggests different or additional mechanisms in the case of AIP and pituitary tumorigenesis is the AIP\u2013AhR pathway. Scientific interest for the nature and function of AhR-AIP pathway since AhR signaling was recently observed to be involved in the lung leukocyte proinflammatory cytokine response to cadmium is a monomer of plastics and epoxy resins widely used in the dentistry and food packaging industry, persistently present in the environment due to its long biological half-life. BPA exposure was identified to present a potential risk factor for breast cancer .Polychlorinated biphenyls (PCBs) are persistent pollutants and pro-tumorigenic in the liver. Although non-dioxin like, these substances were also observed to affect the pituitary AhR pathway. Data on the capacity of PCBs to modulate cell proliferation at the pituitary level signal a potential tumor-promoting role of this pollutant are low-concentration pollutants from various sources capable of mimicking hormonal actions or affecting endocrine pathways, by interfering with the synthesis, metabolism, binding or cellular responses of natural hormones .Data show that dual diagnoses do arise: common (cancers) and uncommon tumors (pituitary tumors) in the same patient. Following the Occam razor principle, we believe that strong family history of malignancy (inherited trophic mechanisms) in our patients in the context of unfavorable environment is the underlying risk factors for the development of cancer and pituitary tumorigenesis.The authors declare that there is no conflict of interest that could be perceived as prejudicing the impartiality of this review.This study was supported by a grant from the Ministry of Science of Republic of Serbia (Project 175033).S P, M S and V P wrote the paper."}
+{"text": "Resistant to treatment depression (RTD) is a prevalent disease that implies functional impairment and high resources consumption. Theta Burst Transcranial Magnetic Stimulation (TBS) in dorsolateral prefrontal cortex (DLPFC) is a novel therapy that has shown experimental efficacy and as an adjuvant strategy in RTD. The implementation of TBS in the Public National Health Service requires cost-effective protocols that achieve earlier responses and higher rates of effectiveness, and whose design is based on biomarkers of response so as to adequately select candidate patients.To assess the efficacy and safety of novel bilateral and unilateral intensive/spaced protocols of TBS in outpatients with unipolar/bipolar RTD compared with sham stimulation. Specific objectives: I) Comparison of mood change at the end of TBS protocol in the groups and maintenance of its effect at 3 months; II) Characterization of cerebral connectivity and metabolism patterns related to the effects of TBS; III) Analysis of the interaction between clinical and neuroimaging predictors so as to determine a RTD profile of patient that can benefit from TBS.A two-year randomized double-blind clinical trial with 96 outpatients with TRD will be carried out. Participants will be randomized in three groups to receive 22 active/sham sessions of continuous TBS (right DLPFC) and intermittent TBS (left DLPFC) during 6 weeks . Assessments of mood and side-effects will be carried out weekly. Functional neuroimaging will be a a simultaneous PET/MR acquisition previous and at the end of TBS treatment. Between-group comparisons of efficacy in terms of Hamilton Depression Rating Scale (HDRS-17) from basal to 6th week will be performed using controlled mixed regression models. Between-group comparisons will be made at baseline and after treatment, studying the imaging biomarkers obtained. Clinical and neuroimaging predictors of response will be integrated in machine learning models.The expected results of the project are summarized in the following hypotheses: 1) The intensive and spaced protocols of TBS as an adjuvant antidepressant treatment will have greater efficacy than sham stimulation in patients with TRD. 2) Both protocols will be safe, with mild side effects. 3) Unilateral and bilateral TBS protocols will involve changes in connectivity and cerebral metabolic consumption mainly in regions of the fronto-cingulo-temporal circuitry. 4) PET/MR imaging biomarkers will allow us to differentiate whether patients have responded to treatment with TBS.This project may help to improve resistant to treatment depression management by personalizing TMS treatment with the use of neuroimaging biomarkers.None Declared"}
+{"text": "In 2011, the Agency for Health Care Research and Quality (AHRQ) published a systematic review on the comparative effectiveness of disease-modifying anti-rheumatic drugs (DMARDs) used to treat adults with rheumatoid arthritis (RA). The publication was an update to a 2007 report. A total of 258 published articles were used in the AHRQ review to compare the effectiveness of corticosteroids, and oral and biologic DMARDs in the treatment of RA. Head-to-head studies and prospective cohort trials were used to compare one drug to another in determining efficacy and effectiveness. AHRQ compiled this report in an attempt to summarize and integrate the available data for clinicians to make evidence based practice decisions for their patients since there is limited consensus among the medical community regarding the comparative effectiveness of drugs used to treat RA. The report reveals there is still much research to bedone concerning the side effects of these agents and their influence in different patient subgroups.To: (a) utilize review findings to make diagnostic and treatment management decisions in clinical practice, (b) inform clinicians on thefindings from the updated AHRQ\u2019s 2011 comparative effectiveness reviewon drug therapy for RA in adults, and (c) identify shortcomings in the current research and future directions revealed by the report.Rheumatoid arthritis is a major public health burden. The 2011 updated AHRQ report includes several new medications approved by the FDA since 2007. The review includes 31 head-to-head randomized clinical trials (RCTs), 1 head-to-head nonrandomized controlled trial, 44 placebo controlled trials, 28 meta-analyses or systematic reviews, and 107 observational studies. Most of the studies used for the comparative analysis are of fair quality with an insufficient to moderate strength of evidence assigned to the findings (Table 1). A mixed treatment comparisons (MTC)meta-analysis from the AHRQ report found that the biologic etanercept hasa higher probability of improvement in disease activity compared with other biologic DMARDs, but the MTC findings have a low strength of evidence and caution is recommended in the interpretation of this weak evidence. For patients with early RA, limited evidence precludes conclusions about the superiority of one combination therapy versus another.The data are also inconclusive for comparisons of therapeutic similarity among oral DMARDs including the limitation created by differences in methotrexate (MTX) dosing across trials. Extensive clinical experience overthe years support the preferred use of MTX in most patients versus other oral DMARDs as well as its use in multidrug regimens, whereas there is little data on the use of oral DMARDs in combination with biologic agents.The review does not support a specific biologic DMARD over another due to the lack of head-to-head trials comparing these agents using validated RA outcome measures. The data show that the majority of biologics have approximately the same efficacy except for anakinra, which was found tobe less effective.The biologic and oral DMARDs are similar in overall tolerability, but several studies suggest that adverse events are more common with biologic DMARDs versus oral DMARDs. Based on limited evidence, the oralD MARDs do not appear to have an increased risk of severe adverse events including cardiovascular events and cancer. Although most studies also found no increased risk of cardiovascular events or cancer with the biologic DMARDs, cohort studies show an increased risk of heart failure with adalimumab, etanercept, and infliximab compared with oral DMARDs.The updated AHRQ review synthesizes the current literature on therapies used for the treatment of RA in adults. The investigators are also able to identify pertinent research gaps in the literature that can be addressed with future research."}
+{"text": "Early cancer detection is key to improving patient survival and quality of life and reducing cancer treatments\u2019 financial burden. The past several decades have seen the evolution of technologies for detecting signatures in cancer diagnosis, therapy, and prognosis. Although targeting multiple cancers based on common molecular mechanisms is convenient and cost-effective, the specialization of technologies to individual cancer types is indispensable due to differences in the developmental mechanisms of each cancer that exist in distinct organ with physically diverse characteristics. Operating from these two aspects and targeting single- and multi-cancer treatment, this Special Issue introduces current paradigms and recent advances or challenges in this field.C. elegans), which can report the risk of at least 15 types of cancer from a small volume of urine samples taken from customers [The first topic concerns the methods of multi-cancer screening and therapy. Although increasing the cancer screening rate affects early detection and reduces cancer-specific mortality, the rate remains low in the population, especially in Japan. New technologies for non-invasive cancer detection related to \u201cliquid biopsy\u201d have recently been developed with high sensitivity and reasonable cost-effectiveness. Some new technologies have already been launched into business and are available as a new service. The advent of such new products provides a glimmer of hope that we may improve the situation of the low screening rate. The review by di Luccio et al. focuses on the latest technology based on the scent detection of nematode remains challenging due to the blood\u2013brain barrier (BBB). This is despite recognizing the importance of prognostic chemotherapy for CNS diseases and brain cancer to reducing the risk of recurrence. Tashima introduced current trends in Japan in drug delivery systems based on receptor-mediated transcytosis using monoclonal antibody conjugates . To cros"}
+{"text": "Analog quantum simulators rely on programmable and scalable quantum devices to emulate Hamiltonians describing various physical phenomenon. Photonic coupled cavity arrays are a promising alternative platform for realizing such simulators, due to their potential for scalability, small size, and high-temperature operability. However, programmability and nonlinearity in photonic cavities remain outstanding challenges. Here, using a silicon photonic coupled cavity array made up of The authors demonstrate a programmable and mappable silicon photonic coupled cavity array capable of implementing a wide range of tight-binding Hamiltonians. This work is useful for realizing integrated photonic analog quantum simulators. Due to their inherent driven-dissipative nature, photonic systems are a promising platform for non-equilibrium quantum simulation2. An archetypal photonic quantum simulator consists of an array of programmable non-linear nodes with access to the entire quantized eigenenergy spectra of the Hamiltonians being simulated. While there have been numerous works on analog quantum simulation with microwave photons7, optical photons with their extremely weak interaction with the environment, can provide several additional advantages. The higher energy of optical photons allows for the preservation of quantum states even at room temperature, enabling operability at much higher temperatures8, which significantly simplifies the experiments and lowers the resources needed to scale the simulator. Additionally, availability of single photon detectors in the optical domain allows direct measurement of multiparticle correlations10 which are a key set of measurements for characterizing the quantum-ness of realized states. Building on recent advancements in nanofabrication, quantum optical systems have shifted from bulky tabletop systems prone to misalignments to fully integrated on chip photonic circuits. These large scale photonic integrated circuits owing to their small size and high speed of operation present opportunities for unprecedented scalability to practical quantum advantage11.Achieving analog quantum simulation necessitates the realization of programmable quantum devices12 where coupling between cavities provides a potential map for photons to move around, and strong spatial confinement of light for long durations allows access to onsite non-linearity via coupling with various excitonic materials. For photonic CCAs to be used as quantum simulators, four broad requirements need to be satisfied, namely, (i) scalability: there must exist pathways to scale to a large number of sites; (ii) measurability: there is a need for protocols to perform Hamiltonian tomography with restricted access and have CCAs with addressability to all the eigenstates of the system; (iii) controllability: control over all the terms describing the Hamiltonian is required; and finally (iv) optical non-linearity: need to realize photon-photon interaction to simulate many-body Hamiltonians. The last demand as a precondition, necessitates using high-quality factor (Q) cavities with small mode volumes as constituents of the CCA. Such high-Q cavities are also necessary to probe the entire quantized eigenenergy spectra. Though several experiments showing various physical phenomena using optical CCAs have been previously reported15, none of these CCAs are programmable and have access to the entire quantized eigenenergy spectra of the Hamiltonian. While careful selection of the operation regime can lead to pathways that allow scalability to multiple sites using photonics16, in the optical regime achieving programmability and measurability of the eigen-spectrum, is very challenging owing to the extremely small physical dimensions involved.One solution to engineer such quantum systems in optics is via photonic coupled cavity arrays (CCA)Qs up to In this work, we tackle these problems by engineering a silicon photonic CCA made of high-Q minimizing the additional optical loss incurred when introducing the heaters and (ii) reducing the thermal crosstalk between heaters, which need to be placed in close proximity owing to the small device footprint necessary to obtain small mode volumes for each cavity and ensure strong coupling between the cavities while maintaining large free spectral rangesers Fig.\u00a0. In suchWe characterize the realized CCA by applying a linearly increasing voltage across each heater one at a time and recording the respective transmission spectra. The eigenenergies are then extracted from the recorded spectra and combined with our knowledge of We next model the CCA to accurately predict the eigenenergies of the system on application of a voltage profile [Note that, we assume that We visualize this process in Fig.\u00a0These predicted eigenenergies are then used to fit for The probability distribution of the fitting error normalized to the mean hopping-rate 12, we engineered special TO islands heaters, which reduced the effects of thermal crosstalk by almost 23 and allowed Q-factors up to 13 and the Su\u2013Schrieffer\u2013Heeger (SSH) model24. One potential disadvantage of using TO heaters is that our dynamic modulation rates are limited to the 21 which rules out the possibility to implement models like the Haldane quantum Hall effect25 requiring modulation of onsite potentials at rates comparable to the mean hopping rate to reach the regime of interacting photons and allow access to the full quantized eigen-spectrumAnsys Lumerical FDTD, MODE and HEAT were used to simulate and optimize the device parameters.Pt layers were then defined using a A silicon on insulator wafer (SOITEC) with The spectrum of the fabricated device was measured via a fiber coupled setup in which the input light was provided by a tunable continuous-wave laser (Santec TSL-510) and a low-noise power meter (Keysight 81634B) was used to collect the output light from the grating couplers. A DAQ (MCC USB 3114) was used to apply the electrical potential profile across the device.Supplementary InformationPeer review file"}
+{"text": "Plasma cell leukemia is a rare yet aggressive form of multiple myeloma characterized by high levels of plasma cells circulating in the peripheral blood. We recently experienced a case of plasma cell leukemia that had been in stringent complete remission for nine years after autologous stem cell transplantations with subsequent courses of lenalidomide maintenance therapy, and then relapsed as an extramedullary plasmacytoma in the central nervous system. Assessment of the bone marrow did not prove proliferation of plasma cells at relapse, but imbalanced elevation of serum levels of free light chains was observed without changes in other clinical biomarkers including immunoglobulin levels. Salvage chemotherapy with isatuximab, pomalidomide, and dexamethasone (IsaPD) was promptly initiated. After two courses of IsaPD, significant remission was achieved and the neuronal symptoms completely resolved. When excessive serum levels of clonotypic free light chains are noted, their significance should be carefully assessed even when plasma cell propagation in the bone marrow is not observed. In such cases, hematologists should search for extramedullary proliferation of plasma cells, including in the immune-privileged central nervous system. Plasma cell leukemia is a rare but aggressive entity of plasma cell dyscrasia. Plasma cell leukemia is defined by the presence of five percent or more circulating plasma cells in the peripheral blood smears in patients otherwise diagnosed with symptomatic multiple myeloma . Approxi18F-fluorodeoxyglucose Positron Emission Tomography (FDG-PET) and the 11C methionine Positron Emission Tomography (MET-PET) scans, which are the two most powerful methods to detect a minimal residual disease (MRD) in patients with plasma cell malignancies and the urinary analysis (TP/Creatinine (Cr) 77.9\u00a0mg/g x Cr) were insignificant, except for the imbalanced elevation of the serum free light chain levels . As shown in the Fig.\u00a0A 68-year-old Japanese female was referred to our hospital for gradually worsening intracranial neuronal symptoms of confusion and expressive aphasia for the past two weeks. The patient had originally been diagnosed as monoclonal gammopathy of undetermined significance (MGUS) 18\u00a0years ago, and progressed to the plasma cell leukemia nine years ago. The patient had undergone induction chemotherapy with bortezomib and dexamethasone, followed by two autologous stem cell transplantations. During courses of the lenalidomide maintenance therapy, the patient had been in a stringent complete remission with the normal serum levels of free light chains. The systemic imaging studies resulted negative with the gnancies . Nine yeImmunoglobulins are composed of heavy and light chains. Plasma cells make a small amount of extra light chains that do not bind with heavy chains, and these are called free light chains. In patients with plasma cell neoplasms, the multi-clonal production of light chains is overwhelmed by the monoclonal production by the transformed plasma cells, which subsequently affects the kappa to lambda ratio of the free light chains. Since the concept was originally introduced by Dr. Henry Bence Jones in 1847, the analysis of serum levels of the free light chains is now a standard as well as an essential examination in the diagnosis and management of plasma cell neoplasms . AlthougReviewing the past literatures resulted only five cases of plasma cell leukemia that had relapsed in the central nervous systems after the initial treatment Table . NotablyIn summary, we have experienced a case of plasma cell leukemia that had been in a stringent complete remission for nine years after autologous stem cell transplantations with courses of lenalidomide maintenance therapy, and then relapsed as an extramedullary plasmacytoma in the central nervous system. Imbalanced elevation of serum levels of the free light chains could be the initial and the only clinical manifestation at the time of relapse, and thus systemic work-up including the central nervous systems would be necessary to examine the presence of extramedullary lesions especially when the bone marrow assessment resulted negative for the aberrant propagation of plasma cells."}
+{"text": "The term \u201cmetastatic cascade\u201d defines a process whereby few tumor cells complete a sequence of steps to leave the primary tumor to reach one or more sites elsewhere in the body, usually through the bloodstream to develop one or several metastases. Due to the nature and plasticity of cancer, unfortunately no specific and functional anti-metastatic drugs are available. In this Commentary, we are highlighting how four essential factors are able to induce adhesion-to-suspension transition (herein referred to as AST) in human cancer cells and how this process may play a key role in tumor metastasis. We further underlined the potential role of hematopoietic transcriptional regulators in reprogramming anchorage dependency of cells, supporting the possible targeting of AST factors as promising therapeutic strategy to overcome metastasis in solid tumor cells. The ability of cancer cells to break off from the primary tumor and generate metastases is still one of the main determinants of unsuccessful outcomes of cancer treatment. Although important results in terms of outcome and life expectancy have been achieved in the last two decades with the development of intense multimodal treatment approaches, better tumor characterization and the development of translational interdisciplinary research require urgent attention. Although the macro-events leading to the multi-step metastatic cascade have been fully elucidated, several questions are still unanswered. Molecular and genetic factors that determine the spatio-temporal control of cancer cells detachment from primary tumor site still remain elusive. Understanding the biogenesis of circulating tumor cells (CTCs), that are precursors of metastases, is fundamental to \u2018clip the wings\u2019 of the most invasive and deadly cancer types. During the last decades, transcriptional programs that are able to shape cell commitment and differentiation (i.e. Yamanaka factors) have been identified as well as the pleiotropic epithelial-to-mesenchymal transition (EMT) process that orchestrates cell polarity and intercellular communications , 2. Up tWhat regulates the loss of anchorage of tumor cells from their original mass? How do CTCs re-acquire their adhesive properties once they reach their target sites? Are there targetable transcriptional programs regulating CTCs interactions with the extracellular environment in the bloodstream?A very recent study from Huh et al. elegantly demonstrates how a cocktail of four essential factors is able to induce adhesion-to-suspension transition (herein referred to as AST) in human cells both in vitro and in vivo . The autHuh and colleagues analyzed a plethora of adherent and suspension cell types looking for differential expression of genes regulating their different morphological state. By gene expression analyses, they isolated four genes that are sufficient to induce anchorage-independent growth when ectopically expressed in human adherent cell lines: IKZF1 (IKAROS Family Zinc Finger 1), NFE2 (Nuclear Factor Erythroid 2), BTG2 (BTG Anti-Proliferation Factor 2) and IRF8 (Interferon Regulatory Factor 8). Those factors are normally expressed in blood cells regulating hematopoiesis of blood precursor cells, whereas they are epigenetically suppressed in adherent cells. Transient expression of those hematopoietic factors results in cell rounding and clustering without triggering cell differentiation that ultimately induce anoikis, a form of programmed cell death that occurs in cells detached from the surrounding ECM. Resistance to anoikis is a \u201cde novo metastatic breast cancer patients. By means of scRNA-seq analyses, they found that CTCs isolated from whole blood exhibit high expression of AST factors, that is instead barely undetectable in primary tumor samples. Moreover, studies on orthotopic murine models of both metastatic breast and melanoma cancers have shown a marked raise of AST factors expression in CTCs. Upregulation of AST factors correlates with low YAP/TEAD signaling and low expression of genes related to ECM organization in CTCs. Strikingly, the expression of AST factors was turned off at metastatic sites (lung nodules for melanoma), thus corroborating the plasticity of AST phenomenon observed in vitro. These data demonstrate, for the first time, that the dynamic expression of four hematopoietic factors governs the formation of CTCs, their dissemination into the bloodstream and their colonization of the target tissue that are known to induce the degradation of IKZF1, one of the four AST factors. IMiDs, such as Lenalidomide and Pomalidomide, facilitate the Cereblon (CRBN)-mediated degradation of Ikaros family proteins (such as IKZF1) and have already been approved for the treatment of hematological malignancies such as multiple myeloma and lymphoma. Treatment with both Lenalidomide and Pomalidomide reverts AST in vitro and specifically inhibits lung colonization in vivo without reducing primary breast masses. The authors propose IMiDs repositioning as a specific anti-metastatic therapeutic strategy for solid tumors. Since IMiDs are known to stimulate immune cells (such as T and NK lymphocytes), their anti-metastatic efficacy could also be potentiated by enhanced anti-tumor immunity. However, repositioning of these drugs for solid tumors deserves deeper studies.It is very well documented that CTC clusters are more aggressive than single CTCs . Indeed,The four AST factors are known to exert multiple functions such as determinants of blood cell lineage development or oncosuppressive factors in hematological malignancies. Their implication in cancer biology is mainly restricted to their different roles in the control of cancer immunosurveillance in various tumor types. Very little is known about their role in solid tumors. Their expression is mostly suppressed in these cancers, where they were reported to act as modulators of immune cells infiltration (IRF8 and IKZF1) or as cell stress responsive factors (BTG2 and NFE2). For example, IRF8 enhances CD8-T cell population in the tumor microenvironment as previously demonstrated in murine melanoma models and in bIn summary, these findings underscored an important early regulation of how cancer cells spread and highlighted novel targets for a specific anti-metastatic therapy. Understanding how AST factors/dependent genetic changes dynamically adapt to the different environments, is important to gain a wide view of this fascinating process. Furthermore, these observations are now opening a new and not still explored scenario for the role of AST process and its impact in other physiological events such as development, organ morphogenesis or immune cell development."}
+{"text": "This review highlights some of the recent advances in modelling thrombus formation Microfluidic devices and the availability of commercial chips in addition to enhanced accessibility of 3D printing has facilitated a rapid surge in the development of novel in-vitro thrombosis models. These include progression towards more sophisticated, \u2018vessel on a chip\u2019 models which incorporate vascular endothelial cells and smooth muscle cells. Other approaches include the addition of branches to the traditional single channel to yield an occlusive model; and developments in the adhesive coating of microfluidic chambers to better mimic the thrombogenic surface exposed following plaque rupture. Future developments in the drive to create more biologically relevant chambers could see a move towards the use of human placental vessels, perfused ex-vivo. However, further work is required to determine the feasibility and validity of this approach.Recent advances in thrombus formation models have significantly improved the pathophysiological relevance of in-vitro flow chambers to better reflect the in-vivo environment and provide a more translational platform to test novel antithrombotics. The use of experimental in-vivo and in-vitro thrombosis models has been fundamental in furthering our knowledge of arterial thrombosis, from understanding the mechanisms governing thrombosis through to the screening of novel antiplatelet drugs. The most common in-vivo models of arterial thrombosis are murine models where the vascular endothelium is damaged using laser ablation or chemically damaged using ferric chloride . The sizIn-vitro thrombosis models have been around since the 1930s with one of the earliest models being the capillary thrombometer , which wType I collagen is the most thrombogenic extracellular matrix protein found in the blood vessel wall and is eIn-vitro thrombus formation assays have proved pivotal in characterizing the mechanism by which VWF and the GPIb-IX-V complex facilitates the initial platelet tethering to collagen ,18, the Secondly, the linear kinetics of thrombus growth observed in flow chambers is different to the dynamic thrombus assembly observed in mouse models, where disaggregation and embolization occur prior to thrombus stabilization ,28. It iFinally, the single channel flow models are relatively low throughput impeding their uptake commercially to screen for novel antithrombotic compounds, and clinically to assess thrombus formation on a range of adhesive ligands. In this review we discuss the most important recent advances and approaches, which address many of the limitations of the traditional in-vitro thrombosis model.Microfluidic chambers enable investigations demonstrating the influence of whole blood rheology on platelet activity and thrombus formation, as they often use smaller amounts of blood, increasing accessibility . AdditioThe early development of in-vitro models consisted of whole blood perfused over Type I Horm collagen, sometimes in combination with tissue factor , to inveAn alternative approach which has also enhanced the throughput of in-vitro flow experiments is microspotting pioneered by Cosemans and Heemskerk \u201340. Precet al., overcame some of these limitations by culturing HUVECs to confluency on collagen coated coverslips and using a scalpel to create a scratch exposing the collagen, in addition to acute activation of the cells with histamine. The study demonstrated enhanced platelet adhesion evoked by histamine induced VWF release and also provided proof of principal that the model could be used to assess antithrombotic drugs which target the endothelium [\u25aa\u25aa].The use of plaque material within in-vitro thrombosis models provides a trigger for arterial thrombosis much more akin to the in-vivo scenario; however, these advances are still limited by the lack of vascular cells, in particular endothelial cells, and their important contributions to arterial thrombus formation. Indeed, endothelial cells are key regulators of platelets ormation ,54. Seven . Berry et al.[\u25aa\u25aa] created a custom-made pressure relief PDMS-based model to generate occlusive clot formation on a patch coating of Type I Horm collagen and tissue factor, enabling measurement of time to occlusion following treatment with antiplatelet drugs. The model was successful in occluding chambers due to the incorporation of a branching design, with blood flow able to divert following a build-up of fluid pressure. However, off-site coagulation occurring downstream of the patch was observed and required downstream infusion of ethylenediaminetetraacetic acid (EDTA) [\u25aa\u25aa], potentially due to the absence of endothelial cell regulation in the model.Historically, in-vitro thrombosis models are largely nonocclusive, due to the dislodgement of large thrombi in chambers caused by the build-up in pressure and the lack of co-lateral vessels providing an alternative route of less resistance. Recently, however a series of adaptations to the standard flow chamber model has enabled an occlusive model of thrombosis to be established \u25aa\u25aa. Berryry et al.\u25aa\u25aa created (EDTA) \u25aa\u25aa, potenex vivo. Human placental tissue represents a continuous and easily accessible source of human blood vessels, with arteries and veins ranging in size from large conduit vessels to small resistance vessels [ex vivo studies, with most Universities associated with hospitals or located in proximity. Experimental studies have previously demonstrated perfusion of placental vessels for up to 6\u200ah after delivery [Future advances in the development of in-vitro thrombosis models have the potential to move towards using human blood vessels perfused with human blood vessels Fig. 2)ex vivo. vessels and mostdelivery \u201368 with delivery , and enddelivery .in vivo (e.g. laser injury or ferric chloride), offering the prospect of a bona fide human thrombosis model with the potential to replace animal experiments. The availability of numerous arteries and veins from the same placenta also allows simultaneous haemostasis assays to be performed in place of murine tail bleeding assays. Puncture wounds of a set diameter can be initiated using specific gauge needles [The accessibility of chorionic plate placental vessels Fig. faciliti needles and the et al., unpublished data). As with most in-vivo models, the vessels will also be devoid of cardiovascular disease. However, there is the prospect of utilising placental vessels from pregnancies complicated by hypertension or diabetes to better model disease or using inflammatory mediators to evoke endothelial dysfunction. A benefit over in-vivo models however is the ability to treat or manipulate different components of the model in isolation. This is an exciting and revolutionary area of research, which requires future investigations to reveal the full potential of using human placental vessels ex vivo, as a robust, reproducible, and standardized method for investigating thrombosis and haemostasis.As with any model, there are limitations with using placental vessels, these include immaturity in cell phenotype as the placental vessels are foetal origin. Our own work however has demonstrated that placental endothelial cells express similar levels of platelet regulators eNOS, COX1 and CD39 to HCAECs and protect against platelet thrombus formation to a similar extent when compared in microfluidic chambers and a Biotechnology and Biological Sciences Research Council/ National Centre for the Replacement, Refinement and Reduction of Animals in Research project grant (NC/X002292/1).Funding: BHF/NC3Rs joint studentship (NC/S001662/1); BBSRC/NC3Rs joint project grant (NC/X002292/1).There are no conflicts of interest."}
+{"text": "We express our gratitude to the concerns raised by Hsieh et al. regarding to our investigation on the anatomical and visual outcomes of fovea-sparing internal limiting membrane (ILM) peeling with or without the inverted flap technique for myopic foveoschisis (MF).In our study, we incline to interpret the case mentioned by Hsieh et al. as an occurrence of postoperative full-thickness macular hole (FTMH) formation. FTMH is characterized by an interruption of all neural retinal layers from the ILM to the retinal pigment epithelium (RPE) . We concPrevious studies have reported the incidence of FTMH development subsequent to fovea-sparing ILM peeling in myopic traction maculopathy ranging from 5.6 to 9.7%. The presence of preoperative lamellar macular hole (LMH) is also associated with an increased risk of postoperative FTMH formation , 3. We aThe inverted ILM flap technique has been commonly used for FTMH. A flap of ILM covering the surface of macular hole promotes the proliferation of glial cells and contributed to the restoration of foveal architecture as a scaffold . The flaThe satisfactory success rate of the operation has been shown in our study. That only one eye in each group of the inverted and non-inverted flaps experienced a delayed onset of postoperative FTMH. Our findings were based on the statistical analyses from the retrospective clinical case observation. Further prospective controlled trials with larger sample size are warranted to evaluate the advantages of the inverted ILM flap technique for MF comprehensively."}
+{"text": "Over the past few years, multiparametric MRI (mpMRI) of the prostate has emerged as the most successful radiologic imaging study for detecting prostate cancer. The PI-RADS system and the MRI pathway have paved the way for a widespread usage of this imaging test in daily clinical practice . Prostat"}
+{"text": "Background: The FIRST Trial is a 5-year study funded by the Agency for Healthcare Research and Quality. Our investigation is situated within a more extensive study to restrict fluoroquinolone antibiotics by requiring providers to obtain authorization from an infectious disease physician before prescribing fluoroquinolones. Our research team is performing a systematic evaluation to identify organizational characteristics and influencers of the fluoroquinolone preprescription authorization implementation process to understand variables that may facilitate or hinder implementation success. Methods: To address this critical gap, we present a qualitative analysis from our ongoing, multisite research project aimed at systematically assessing the adoption of an antimicrobial stewardship intervention in the form of an EHR-integrated best-practice alert (BPA) at each site to identify work system factors that impact uptake and variability in the implementation of the BPA at each location. The evaluation provides a detailed explanation of activities through the implementation process to assess how an organization effectively negotiates the phases and transitions, ultimately influencing the impact of the intervention. We have used a contextual determinant framework (CFIR) that has enabled us to perform a systematic and comprehensive exploration and identification of potential explanatory themes or variables to shed light on the complex social phenomenon of implementation. Results: Participants who will be a part of our poster presentation will learn about implementing a BPA, the potential barriers to implementation, and strategies for overcoming these barriers. Stakeholders within our study include site coordinators, medical doctors, nurses, pharmacists, and clinical informaticists. Our analysis synthesizes their experiences implementing and sustaining this evidence-based antimicrobial stewardship intervention. It includes (1) a detailed description of the process of change, (2) work-system factors that they believe influenced the success of the intervention, (3) barriers and facilitators within the implementation process; and (4) description of how these could have influenced the outcomes of interest . Conclusions: Our research is expected to advance patient safety research and initiatives by providing a more robust approach to performing systematic intervention evaluations. By outlining stakeholders\u2019 experiences within our study, implementation leaders within healthcare systems will utilize our findings to aid them in their design and implementation process when designing and implementing similar types of healthcare interventions.Disclosures: None"}
+{"text": "Climate change disproportionately harms people of color and low-income communities. Despite their unprecedented numbers, being constantly on the move, and suffering extreme social vulnerability, almost nothing is known about the impact of climate change on the health of refugees. This study uses state-of-the-art mixed methods to examine the differential susceptibility of climate-sensitive exposures and environmental exposures among refugees and their links to perceived health after resettlement.Arabic-speaking refugees (N=67) from Iraq and Syria previously diagnosed with hypertension who resettled in California were recruited from a community center. Semi-structured interviews were conducted to explore participant\u2019s understanding of the impact of climate on health. Survey data were collected to inquire regarding participant\u2019s refugee journeys prior to resettlement in the US. Survey data on climate-related disasters was retrospectively geo-referenced through the Emergency Events Database (EM-DAT). Qualitative data was analyzed using inductive thematic analysis.All participants stayed in at least one temporary resettlement country during their migration journey and 12% has stayed in refugee camps. The most popular resettlement sites were Turkey (most disaster-prone in the region due to frequent floods and earthquakes) and Jordan . Participants reported harsh weather conditions during their migratory journeys including extreme cold in Turkey and extreme heat in Jordan. Many participants noted their exposure to dust throughout their travels, and an inability to deal with harsh weather conditions due to financial insecurity. Participants did not link their diagnosis of hypertension to their experience of extreme weather and would only link it to their exposure to stress from war. Participants did note poorer mental health due to poor weather conditions and a challenge adjusting to the climate conditions in different countries. Few participants reported residing in a refugee camp and described it as ill-equipped for the challenges of climate hazards.This study reveals the links between structural drivers of climate change and health inequities for refugee populations. Refugees are highly vulnerable to climate-sensitive exposures but remain not fully aware of the potential links between these exposures and health. Learnings from this study will inform clinical and public health interventions, and policies to close the climate gap without leaving this vulnerable population behind. Refugees are among the population groups least equipped to protect themselves from environmental hazards due to a combination of factors and geographical trajectories. These can include insecure living conditions, such as living in overcrowded refugee camps, a lack of economic resources, the experience of conflict and persecution in their place of origin, and often extremely perilous journeys. Previous research shows that refugees have a greater prevalence of poor physical3 and mental health4 as compared to the general population, including chronic conditions such as hypertension3, which are shown to be aggravated by exposure to extreme climate events5. Yet little is known about the implications of the climate crisis on refugees\u2019 health, mainly due to the difficulty of studying displaced populations as well as their previous exposures to climate-related disasters. Understanding and documenting such refugees\u2019 cumulative exposure to various environmental exposures can be particularly helpful to better understand differential susceptibility regarding the role of climate-sensitive exposures and ambient environmental exposures once resettled in the United States (US) or elsewhere.The climate crisis poses multiple threats to human healthIn this study, we demonstrate how some of these gaps in the literature can be addressed through a mixed-methods approach applied to a small sample of Syrian and Iraqi refugees. Semi-structured interviews were conducted with 67 adult refugees residing in San Diego, California \u2013 a major resettlement city for refugees from the Middle East and North Africa (MENA) in the US. The sociodemographic characteristics of interviewed refugees are presented in Table S1. These data were analyzed through inductive thematic analysis alongside geo-referenced data on climate-related disasters retrieved from the Emergency Events Database (EM-DAT) (see supplementary information). Participants were asked about their refugee journeys prior to resettlement in the United States, which span from 1992 to 2018, including the experience of climate-related hazards and perceived health implications.6. At the same time, this region is warming significantly faster than other regions and incurs some of the highest rates of human losses from the climate crisis due to its poor adaptive capacity7.The MENA region is important to study since it has been badly affected by conflicts and is a major contributor to the global refugee crisis, with more than 12 million people currently displaced in the regionMost of the surveyed individuals stayed in at least at one temporary resettlement site in the MENA region during their migratory journey, primarily in Turkey and Jordan ,1G. Besi8. Both dust and extreme ambient temperatures can aggravate hypertension, which was a chronic condition among all survey participants. While some related their hypertension to the experience of war and violence, no direct links were made between the experience of extreme weather during the migratory journey and poor physical health. However, some refugees reported poor mental health due to poor environmental conditions. Overall, participants reported difficulties adjusting to a climate that was different from their home countries.Surveyed participants reported experiencing harsh weather conditions, including extreme heat in in Jordan and extremely cold temperatures in Turkey. Access to heating during cold winters was noted as a problem due to a lack of financial resources. Almost all participants mentioned being exposed to dust throughout their resettlement journey. Such dust storms are becoming more common in the Middle East due to the climate crisis9 in extremely precarious living conditions10.A few survey participants reported staying in a refugee camp in Jordan and geneThe impact of environmental disasters on refugees\u2019 health is an immensely understudied field of research. Applying a mixed-methods approach, we propose a framework to study such links and highlight specific health risks faced by refugees in the MENA region where violent conflict has displaced millions of people against the backdrop of an intensifying climate crisis. As climate change is expected to displace an ever-growing number of people in the next decades, there is an urgent need to develop actionable interventions to improve the quality of life and health of this highly vulnerable group."}
+{"text": "The application of a second layer between the neourethra and skin was a major contribution, which has improved the outcome of hypospadias repair. Here, we report our experience of revisiting the original Smith technique using a de-epithelialized overlap flap to support the urethroplasty in staged hypospadias repair.The study included primary cases of proximal hypospadias with significant chordee who underwent two-stage repair during the period 2016 through 2021. The ventral curvature was corrected at first stage by excision of the urethral plate, followed by covering the ventral shaft by skin flaps or inner preputial graft. The second stage (Thiersch -Duplay urethroplasty) was performed six months later. The de-epithelialized overlap flap (double breasting) technique was used to cover the neo-urethra in all cases, which was combined with a dartos scrotal flap to cover the proximal neourethra when indicated.The study included 17 boys with proximal hypospadias who underwent two-stage repair. Follow up period after the second stage ranged between 6 and 30 months . Post-operative complications were detected in 7 cases (41%). Most complications were related to distal/glanular disruptions whether partial or complete (5 cases). One case developed a penoscrotal fistula that was closed surgically. Another case presented 21 months after the second stage with urethral stricture .Applying the de-epithelialized double-breasting skin closure can offer alternative second layer coverage for the neourethra along the penile shaft in staged repair of proximal hypospadias. While surgery for distal hypospadias is considered an aesthetic procedure, surgery for proximal hypospadias aims to improve function . Two maiWe can all agree that adding a second layer between the neourethra and skin had a significant impact on the success of the hypospadias correction . This deHere, we report our experience of revisiting the original Smith technique using a de-epithelialized overlap flap to support the urethroplasty in staged repair of proximal hypospadias.We retrospectively analysed the data of primary cases of proximal hypospadias with significant chordee who underwent two-stage repair during the period 2016 through 2021. Only cases who applied the de-epithelialized double breasting skin closure at second stage of repair were included in this study.The first stage starts by degloving of the penile skin. Ventral dissection is extended down to the scrotum exposing the bulbar urethra. The position of the hypospadiac meatus as well as the site of bifurcation of the corpus spongiosum is defined after complete degloving reflecting the degree of severity of hypospadias. In presence of significant ventral curvature (chordee\u2009>\u200930\u00b0), the decision is made to sacrifice the urethral plate. The urethral plate together with all subjacent dysplastic tissue are meticulously excised to straighten the penile shaft. This will relatively shift the meatus to a more proximal position. Either skin flaps Fig.\u00a0 or innerDuring the second stage, a Thiersch-Duplay urethroplasty is applied to reconstruct the anterior urethra transferring the urinary meatus distally to the glans. The urethroplasty is performed using polyglactin 6\u2009\u2212\u20090 continuous (full thickness) suturing technique; a second layer of interrupted sutures are applied at wide intervals to support the underlying continuous suture line of the urethroplasty. Before skin closure, a rectangular area is de-epithelialized along the free edge of the penile skin on one side as shown in Fig.\u00a0The study included 17 boys with proximal hypospadias who underwent two-stage repair. In all cases, the de-epithelialized overlap flap (double breasting) technique was used to cover the neo-urethra, which was combined with a dartos scrotal flap to cover the proximal neourethra when indicated. Their age at first stage ranged between 6 and 66 months . The meatus position was penoscrotal in eight, scrotal in seven, and perineal in two. In all cases, the ventral curvature was corrected at first stage by careful dissection and excision of the urethral plate with all subjacent dysplastic tissues on the penile ventrum . Dorsal skin flaps were used to substitute the urethral plate in 10 cases, while inner preputial graft was used in the rest (7 cases). No complications were detected after the first stage in this case series. The second stage (Thiersch -Duplay urethroplasty) was performed at least six months after the first stage.Follow up period after the second stage ranged between 6 and 30 months . Post-operative complications were detected in 7 cases 41%); six of them required a third intervention was found, which may be quite expected in such group of severe hypospadias , 17. WheWith the trend back to two-stage repairs for proximal hypospadias, applying the de-epithelialized double-breasting skin closure is an alternative way to provide second layer coverage for the neourethra along the penile shaft."}
+{"text": "Cotton leaf curl virus (CLCuV) causes devastating losses to fiber production in Central Asia. Viral spread across Asia in the last decade is causing concern that the virus will spread further before resistant varieties can be bred. Current development depends on screening each generation under disease pressure in a country where the disease is endemic. We utilized quantitative trait loci (QTL) mapping in four crosses with different sources of resistance to identify single nucleotide polymorphism (SNP) markers associated with the resistance trait to allow development of varieties without the need for field screening every generation. To assist in the analysis of multiple populations, a new publicly available R/Shiny App was developed to streamline genetic mapping using SNP arrays and to also provide an easy method to convert and deposit genetic data into the CottonGen database. Results identified several QTL from each cross, indicating possible multiple modes of resistance. Multiple sources of resistance would provide several genetic routes to combat the virus as it evolves over time. Kompetitive allele specific PCR (KASP) markers were developed and validated for a subset of QTL, which can be used in further development of CLCuV-resistant cotton lines. Gossypium hirsutum, is an allotetraploid crop that accounts for much of the fiber used in natural textiles. In addition to its uses in clothing and other textile products, cotton is used in the production of American currency for high DNA concentrations. The few samples that had lower concentrations were standardized to 10 [ng/\u00b5L]. F1 samples were created in the lab by mixing DNA from both parents. The testing panel was replicated in 96-well sections of each quadrant of three 384-well plates, with all unfilled wells acting as non-template controls with water and performed the first genetic analyses on these materials. The identification of multiple QTL in different locations on the genome suggests there are multiple resistance genes present in geographically diverse cotton germplasm. Identification of these sources provides the basis for more durable resistance via the stacking of these resistance QTL. We have developed a R/Shiny App, iCottonQTL, which streamlines the process to QTL mapping from cotton genotyping arrays and subsequent deposit of data to the CottonGen database."}
+{"text": "This review discusses picosecond ultrasonics experiments using ultrashort hard x-ray probe pulses to extract the transient strain response of laser-excited nanoscopic structures from Bragg-peak shifts. This method provides direct, layer-specific, and quantitative information on the picosecond strain response for structures down to few-nm thickness. We model the transient strain using the elastic wave equation and express the driving stress using Gr\u00fcneisen parameters stating that the laser-induced stress is proportional to energy density changes in the microscopic subsystems of the solid, i.e., electrons, phonons and spins. The laser-driven strain response can thus serve as an ultrafast proxy for local energy-density and temperature changes, but we emphasize the importance of the nanoscale morphology for an accurate interpretation due to the Poisson effect. The presented experimental use cases encompass ultrathin and opaque metal-heterostructures, continuous and granular nanolayers as well as negative thermal expansion materials, that each pose a challenge to established all-optical techniques. In the most straight-forward experiments, strain induced changes of the reflectivity witness the arrival of a strain pulse in the layer and the timing can be used to infer layer thicknesses or elastic properties In ultrafast x-ray diffraction (UXRD) experiments the optical probe pulses are replaced by ultrashort hard x-ray pulses that are diffracted from the crystal structure in motion X-rays from laser-based plasma sources, in contrast, are sufficient to support the conceptually simple picosecond ultrasonics experiments that investigate Bragg peak shifts In this article, we highlight the conceptual advantages of picosecond ultrasonics with x-rays (PUX) experiments that observe shifts of Bragg peaks of layered heterostructures. Each crystalline material scatters at a characteristic Bragg diffraction angle, and hence, the signal is often a layer-specific measure of the lattice distortions caused by the strain pulse propagation and heat flow. In other words, for each pump-probe delay, x-ray probe pulses can project the Bragg peak of each layer onto the detector with a peak shift that is proportional to the instantaneous strain averaged over one layer. The four central advantages of x-ray probing in picosecond ultrasonics are: (i) Diffraction yields quantitative strain values (ii) with layer specific information for (iii) strain pulses and quasi static strain. (iv) The x-ray probe penetrates metals and insulators irrespective of their optical properties. This permits a very flexible exploitation of dedicated strain-sensing layers that can be placed within the heterostructure and often naturally exist as buffer, contact or electrode layers. We elaborate and illustrate concepts for the analysis of PUX experiments that have emerged to utilize the quantitative access to the strain response for tracking the energy flow in laser-excited heterostructures in the sequence of events sketched in We structured the manuscript as follows: In Section In Section In Section Section The 2A typical picosecond ultrasonics experiment is schematically depicted in In applications using optical probe pulses, the main results of such experiments are often the echo time for thickness determination In the remainder of this section, we discuss a representative PUX experiment on metallic heterostructures composed of Pt, Cu and Ni to exemplify the measurement principle and data evaluation. This example demonstrates the advantages of PUX experiments on a sample structure that is frequently used to study the effect of hot-electron pulses that are launched in a Pt layer and propagate through an opaque Cu stack towards a buried functional detection layer The integration of the RSM along see Eq. . FollowiThe resulting strain response of the Pt transducer, the Cu propagation layer, and the Ni detection layer are compared in Here, we highlight the suppression of the crucial electronic energy transport from Pt to Ni, if the additional MgO interlayer is introduced The deformation of the solid is described by the strain In general, the strain response of an elastic solid to a time- and space-dependent stress is found as a solution of the elastic wave equation, i.e., the equation of motion for the displacement field (5)In this publication, we limit our discussion to longitudinal laser-induced stresses Here, the negative sign in front of the external stress is chosen such that a positive longitudinal stress (6)The anisotropic linear expansion coefficient When the driven strain pulses and their reflections have propagated out of the volume of interest, the elastic and the Poisson stress contributions fully compensate the external stress and the vanishing total stress marks a quasi-static state.(7)This temperature increase originates from an optically deposited energy density The parametrization of The advantage of using the Gr\u00fcneisen concept is that the ratios of the intrinsically temperature-dependent quantities 3.2In most picosecond ultrasound experiments the footprint of the excitation laser pulse (sub-mm) is much larger than both the thickness of the transducer \u03b13uhin film , because Eq. The one-dimensional nature of the picosecond strain response of continuous thin films was already considered implicitly by the seminal work by Thomsen et al. see Eq. that exiFinally, the simple formulation of the wave equation given in Eq. 3.3The elastic wave equation Under this assumption the shape of both the driven picosecond strain pulses and the spatio-temporal distribution of the remaining quasi-static expansion However, for most of the materials assuming a single temperature, i.e., quasi-instantaneous equilibration of the electrons, phonons or any other energy reservoirs in the solid is a strong oversimplification. In typical metals such as Au, Cu and Pt the laser excitation leads to a sudden increase of the energy density in the electron system, which is subsequently transferred to phonons within few picoseconds. This coupling of the subsystems on a timescale comparable to the relaxation of the lattice may be crucial for the induced stress and the driven picosecond strain pulses as experimentally demonstrated for Al (17)In addition to the energy distribution among different degrees of freedom, a one-temperature model also oversimplifies spatial heat transport within metal heterostructures because it disregards non-equilibrium transport phenomena like ballistic Such a diffusive 2TM not only includes the coupling between the two subsystems transition metal elements in the high excitation fluence regime observe a distinct fluence and temperature dependence of the electron\u2013phonon coupling timescale 3.4The prevailing paradigms in picosecond ultrasonics are thermoelastic stresses that drive the observed picosecond strain response according to the elastic wave equation This energy density initially deposited to electronic excitations is subsequently distributed within the sample structure and also locally transferred to other degrees of freedom as already discussed in Section It depends on the properties of the material under investigation, which degrees of freedom have to be considered separately to account for the total spatio-temporal external stress. In general, the individual treatment of different degrees of freedom is only necessary for describing the picosecond strain response if the subsystem-specific Gr\u00fcneisen parameters differ. Conversely, the strain measurement only provides access to ultrafast microscopic processes if the involved quasi-particle excitations contribute differently to the total external stress. The separation of subsystem contributions to the strain response of the atomic lattice is schematically visualized in The quasi-instantaneous electronic stress contribution is captured by an electronic Gr\u00fcneisen parameter In laser-excited magnetically ordered metals, the laser-induced spin disorder provides an additional magnetic stress contribution in addition to the electron and phonon stresses. For a Heisenberg exchange interaction the respective Gr\u00fcneisen parameter can be expressed as In total, the Gr\u00fcneisen approach provides a separation of the laser-induced stress into distinct degrees of freedom, which is linear in the contributing energy densities, and can be used even if these subsystems are out-of-equilibrium with each other for many picoseconds 3.5udkm1DsimMatlabModeling the time-dependent strain response allows us to obtain the spatio-temporal stress profile udkm1Dsim code In the following, we display and discuss the modeled laser-driven strain response for a generic sample structure that consists of an opaque transducer with thickness The color maps and selected profiles in Modeling the laser-driven strain response via the elastic wave equation is independent of experimental probing technique e.g. optical probe pulses or x-ray diffraction. A direct comparison between experimental data with the model, however, requires a weighting of the modeled spatio-temporal strain map 4This section is dedicated to the presentation of PUX experiments that illustrate the theoretical concepts discussed in the previous section by utilizing the capabilities of hard x-ray diffraction as a quantitative, material specific probing technique.In Section 4.1Observing the timing, shape and amplitude of picosecond strain pulses is central to picosecond ultrasonics experiments. Here, we showcase the ability of PUX to track the propagation of strain pulses within an opaque heterostructure consisting of a thick transducer on a thin detection layer In particular, we discuss the strain response of heterostructures that consist of a few hundred nm thick TbFeThe femtosecond laser pump-pulse deposits energy into the near surface region inducing an expansion of the Adding an additional transparent SiOWe modeled the strain response of the TbFeOverall, we find that the observation of the strain pulses in a thin crystalline detection layer is advantageous compared to the analysis of the strain response of a thick transducer layer. The separation of the detection layer from the laser-excitation region separates the strain signatures of sound and heat in the time domain which can be exploited for the detection of strain pulses with an unconventional shape, as shown in Section 4.2Here, we compare the qualitative and quantitative picosecond strain response of thin films for various in-plane expansion constraints that are shown to affect the out-of-plane strain response. Different sample morphologies change the nature of the ultrafast strain response from one-dimensional in the case of a homogeneous film to three-dimensional in the case of nanograins even if they are attached to a substrate. Describing the ultrafast strain response of granular morphologies requires a model for the three-dimensional elastic response in accordance with Eq. Specifically, we discuss the picosecond strain response of three xis \u03b13\u22480 under neThe schematic depictions phase at The entrance of the leading compression into the unexcited Nb layer leads to a negative average strain in Nb, while the exit of the compression and the entrance of the tensile part of the strain pulse cause an expansion (The excitation of Dy in its AFM or FM state below The solid lines in (21)with the Poisson stress contribution arising from the expansion within the hexagonal plane Utilizing the anisotropic expansion of Dy Finally, the extracted Gr\u00fcneisen parameters are used to model the laser-induced strain response of Dy and Nb shown in The magnetic degrees of freedom are locally excited by energy transfer from the electron and phonon subsystem on two timescales with a sub-picosecond contribution and a slower This complex interplay of a saturable magnetic stress and a non-saturable phonon stress results in a spatially non-monotonic total stress within the inhomogeneously excited Dy transducer at In summary, this use case demonstrates the unambiguous detection of NTE on picosecond timescales via PUX and exemplifies the extraction of the subsystem-specific stress contributions utilizing subsystem-specific Gr\u00fcneisen constants extracted from thermal expansion in equilibrium. In heavy rare-earth elements NTE arises from magnetostrictive stresses. However, several other mechanisms for NTE and Invar behavior exist e.g. dominant transverse phonon contributions at low temperature and repulsive deformation potential contributions 5We have presented an overview of the capabilities and concepts of PUX, where hard x-ray probe pulses detect laser-induced transient material strain via Bragg peak shifts. Layered heterostructures provide excellent use cases, because the strain propagation and reflections connect the signals from different layers, which \u2013 thanks to the large penetration depth of x-rays \u2013 are accessible even beneath thick metal layers. PUX experiments often provide an intuitive picture of both the strain pulses and the quasistatic strain from the local increase in the energy density as these effects can be separated in the time-domain due to their different propagation speeds.Motivated by the quantitative access to the strain response, we have revisited continuum elasticity theory, to connect the established formulation of picosecond ultrasonics in homogeneously excited continuous thin films via the thermal expansion coefficient to a formulation that incorporates NTE and is able to reveal the Poisson effect on ultrafast timescales.We have shown that PUX experiments may serve as an ultrafast probe of the local energy content in nanoscopic layers. The observed strain is driven by a stress, which is in many scenarios directly proportional to the energy densities in different subsystems. The proportionality constants are the sub-system specific Gr\u00fcneisen parameters for electrons, phonons and magnetic excitations which enable a simplified expression for the driving stress in the inhomogeneous elastic wave equation.The selected examples of PUX experiments illustrate scenarios where x-ray probing is advantageous compared to established and versatile all-optical experiments. Strain pulse detection in buried layers that allows us to separate propagating strain pulses and quasi-static strain in the time-domain is one of the key advantages of PUX experiments as demonstrated for a thin Nb layer buried below an opaque TbFeThe presented experiments work in the symmetric diffraction of rather dim and poorly collimated x-rays from a laser-driven plasma source Large scale facilities from synchrotron radiation sources to FELs provide many additional opportunities beyond the basic PUX experiments discussed here. The excellent collimation and energy resolution of the x-ray beam supports grazing-incidence measurements The authors declare that they have no known competing financial interests or personal relationships that could have appeared to influence the work reported in this paper."}
+{"text": "Hepatocellular carcinoma (HCC) is the third most common cause of cancer-related mortality worldwide. Spontaneous regression of HCC is rare with few documented cases in literature. The mechanism of this phenomenon is unknown, but tumor hypoxia and systemic inflammatory response have been suggested as possible etiologies. This article aims to shed more light on this rare phenomenon and provides an opportunity to review the proposed pathophysiology of spontaneous HCC regression. In this case report, we describe\u00a0an interesting case of a 39-year-old male with HCC who underwent spontaneous regression. Hepatocellular carcinoma (HCC) is a primary liver tumor that usually occurs in the setting of cirrhosis. It is the third leading cause of cancer-related deaths in the world, according to the World Health Organization GLOBOCAN database, and the most rapidly growing cause of cancer deaths in the United States ,2. The tA 39-year-old male with alcohol-associated cirrhosis 23) underwent evaluation of abdominal pain in the emergency room with computed tomography (CT) with contrast. The CT revealed cirrhotic morphology of the liver with a 4 cm hyper-enhancing mass in the right hepatic lobe. Triple-phase CT done for further evaluation of the hepatic mass noted on the single-phase study showed an arterially enhancing mass in segment VIII, which measured at least 3.6 cm in axial dimension and washes out on delayed phase CT; this was classified as LI-RADS 5 lesion (imaging features consistent with HCC, Figures Staphylococcus aureus sepsis at which time her imaging demonstrated near-complete resolution of her HCC [Spontaneous regression of HCC is a rare phenomenon, and there have been a few documented cases of spontaneous HCC regression in the United States . Spontan her HCC . The tru her HCC . The mecTumor hypoxia as a mechanism is inherently appealing as it simulates the conditions created by certain established treatment modalities such as TACE and sorafenib. There are some documented cases of spontaneous regression where patients were noted to have direct ischemic insult either through thrombosis of the hepatic artery or portal vein or profound systemic hypoperfusion from massive variceal hemorrhage -9. TACE There have been some reports of spontaneous regression of metastatic disease which suggests a systemic process may possibly be involved in spontaneous regression -14. AbstThe characteristics of the HCC in this present case were large multifocal lesions in a young adult with significant alcohol intake. The exact mechanism for the spontaneous regression observed here is unclear but it is possibly related to his abstinence from alcohol and/or a spontaneous venous or arterial thrombosis that went undiagnosed when the patient was lost to follow-up.With regard to our patient, alcohol cessation, which has been shown to induce a form of systemic inflammatory response, might have contributed to the spontaneous regression of his HCC. The data reviewed here shows that tumor hypoxia and systemic inflammatory response are important components of spontaneous regression. The true mechanism of spontaneous HCC is likely complex and multifactorial. It is entirely plausible that these two factors described likely have a synergistic effect on spontaneous regression. Analysis of the immunological reactions involved in the spontaneous regression of HCC has serious implications for the development of newer forms of immune-based therapies. It is, therefore, clear that the accumulation of more literature on the spontaneous regression of HCC is necessary in this active area of research."}
+{"text": "Despite activities of daily living being frequently performed simultaneously with a cognitive task, motor function is often investigated in isolation, which can hinder the applicability of findings. This brief review presents evidence that 1) performing a cognitive challenge simultaneously with a motor task can negatively impact force steadiness and fatigability of limb muscles during a static contraction, 2) the negative impact on old adults (>65\u00a0years old), particularly older women is greater than young when a cognitive challenge is simultaneously performed with a static motor task, 3) age-related mechanisms potentially explain impairments in motor performance in the presence of a cognitive challenge, and 4) the mechanisms for the age-related decrements in motor performance can be distinct between men and women. These observations are highly relevant to the older adults, given the increased risk of accidents and injury when a motor task is performed with a high cognitive-demand task, especially in light of the expanding reliance on an aging workforce. Motor function differs between the sexes and declines with age . Two impIn the laboratory setting, experimental models have mimicked these stressful conditions found in daily activities or sport events by imposing a cognitive task before or during the motor task of interest . The cogMotor and cognitive function diminishes with aging with more rapid declines after 65\u00a0years , with imThis brief review will highlight the impact of increased cortical input via imposing a challenging cognitive task during fatiguing and non-fatiguing static contractions in young and older men and women. We focus on force steadiness and time to task failure of limb muscles. The evidence summarized in this review suggests that imposing a cognitive challenge during a motor task can expose sex and age differences in motor performance that are subclinical and not typically observed in the absence of cognitive challenge. Exposing these sex and age-related differences in motor function when simultaneously performing cognitive and a motor tasks, and understanding the physiological mechanisms involved are relevant for designing interventions to improve performance during similar work-related tasks.Fatigue is a disabling symptom in which physical and cognitive function are limited by interactions between performance fatigability and perceived fatigability . QuantifSome work-related tasks and activities of daily living are performed for prolonged periods in the presence of cognitive demand and stress. To understand the effects of cognitive demand and stress on motor fatigability, the time-to-task failure of sustained static and intermittent contractions was determined while individuals simultaneously solved a challenging mental math designed to increases the perceived stress with disAlthough not fully understood, there are some insights on the potential physiological mechanisms that might explain the sex differences in young adults and limb dependency on the reduction in time-to-task failure in the presence of a high-cognitive challenge . The increased cardiovascular response in the presence of the high-cognitive challenge was not associated with the magnitude of the reduction in time-to-task failure, regardless of the limb assessed . HoweverLimb differences in maximal strength may also explain the minimal reduction of time-to-task failure in presence of high-cognitive challenge for the low extremity muscles but not upper extremity muscles. Specifically, the initial maximal force obtained on the upper extremity muscles was larger than lower extremity muscles and the magnitude of sex differences in strength was also larger for the upper extremity compared with the lower extremity . CombineAge-related decrements in maximal force and the In the lower limb experiments, however, a key component of the age-related decrements in motor performance was exposed. The high-cognitive challenge increased the between-subject variability in performance fatigability of the lower extremity muscles for older adults compared with young individuals. This was seen as a much larger reductions of the time-to-task failure in the presence of a high-cognitive challenge for some older individuals but not others, with the group average not changing . The greIn the laboratory setting, force steadiness during static tasks can be quantified with the fluctuations in force output normalized by the average of target force [Coefficient of variation (CV)] . During The magnitude of impairment in force steadiness in the presence of the cognitive challenge was larger at very low force levels, such as 5% of maximum than at moderate levels of contraction . Age andThe mechanisms for the force fluctuations during a static contraction involve variability in the signals from the central nervous system to the skeletal muscle. Experiments without a cognitive challenge using recent advances in non-invasive technology, such as the ability to quantify motor unit behavior using high-definition electrodes , observeFactors influencing the increased variability of common synaptic input to motor units and impaired force steadiness, particularly at very low force levels, with the imposition of a high-cognitive challenge potentially involve disruptions in cortical mechanisms that are yet to be fully understood. The high-cognitive challenge can alter the oscillations in the effective neural drive to motor neuron pool, as observed by increased oscillatory activity between cortex and muscle when a difficult mental math was imposed during very low intensity contractions of the hand muscles in older but not young individuals . FurtherAdditionally, the magnitude of influence of the Trail Making Test results on the impaired force steadiness with high-cognitive challenge was larger in older men compared with older women , indicatThe force steadiness obtained with laboratory-based tests using static contractions during control conditions is frequently associated with dynamic functional tasks of the upper and lower extremities that resemble activities of daily living . RegardlImposing a cognitive challenge during very low and moderate intensity static contractions can further increase the differences in motor performance between young and older men and women. A difficult cognitive challenge executed simultaneously with a motor task can amplify age-related decrements in motor function including brief time-to-task failure and reduction in force steadiness especially in women. Emerging evidence indicates that cortical mechanisms are involved with the loss of force steadiness with the imposition of cognitive challenge and include more variable common synaptic input to motor units. Peripheral mechanisms associated with strength, however, are predictive of the brief time-to-task failure during static contractions in presence of a cognitive challenge. These findings have potential implications for an aging workforce considering that accident proneness and injuries from work-related tasks are associated with the magnitude of cognitive stress."}
+{"text": "In order to enhance and promote tissue repair and healing processes, current exploratory and investigative research lines in medical and dental treatments are focusing on the use of bioactive materials that are able to induce and trigger a specific targeted biological activity to stimulate the suitable response from the host tissue.-\u00ae and BiominF\u00ae are examples of two developed toothpastes containing BAGs (with or without Fluor) for enamel remineralisation and dental hypersensitivity/tooth sensitivity [In oral hygiene: Novaminsitivity .-In endodontics: BAG-based pulp capping materials could stimulate pulp cells\u2019 secretory potential, increase the sealing ability, decrease bacterial infiltration, and preserve pulp vitality.-In restorative dentistry: BAGs can be potentially added to dental adhesives and composites. BAG-based restorative materials are expected to possess remineralizing potential or at least to provide a certain degree of anti-enzymatic/bacterial activity with sustained durability over time.-\u00ae -Perioglas\u00ae ) or implant coatings to improve osteointegration. Current research lines are focused on the development of BAG-based bone scaffolds to promote bone regeneration through in vivo tissue engineering [In bone healing: Some products containing BAG particles are already available in the market such as bone filling materials could be classified as \u201cbioactive materials\u201d because of their ability to interact with biological tissues through formation of a hydroxyapatite-rich layer at the BAG\u2013tissue interfaces, and encourage tissue remineralization, regeneration and integration. One of the potential interactions is the formation of a chemical bond with bone, or at least, promoting its self-healing potential through cell stimulation. Since the introduction of BAGs in 1969 by Professor Larry Hench, the development of BAG-based materials has continued to rise for diverse clinical indications for minimally invasive and biologically based therapies [Although the majority of BAG-based dental materials are still in the experimental phase, this Special Issue aims to explore and elucidate the current status and future perspectives related to BAG use in dental biomaterials and highlight the rationale and benefits behind their applications in the medical as well as dental fields."}
+{"text": "Incidental testicular irradiation during prostate cancer radiotherapy is rarely documented in literature and the long-term impact on gonadal function largely underreported. Here we present an overview of available data on incidental testicular irradiation and radiation-induced hypogonadism during prostate cancer radiotherapy and discuss future technical developments to minimize testis irradiation. The long-term impact of androgen suppression has largely been demonstrated in prostate cancer (PCa) patients, with a wide range of hormone-induced side effects, including an increased risk of cardiac events, osteoporosis, metabolic syndrome, and impaired sexual function et al. estimated a 9% decrease rate in testosterone levels 3\u00a0months after irradiation, but failed to demonstrate a clear correlation between testicular doses and a potential hypogonadal effect et al.The existence of a dose\u2013response relationship between the incidental testicular irradiation and the decrease of the testosterone levels following curative external beam radiotherapy (EBRT) for PCa is far to be well established . In patiet al., despite the testosterone levels 19\u00a0months after SBRT returned to baseline and EPIC hormonal scores remained stable, patients showed a 10.9 point decline in the EPIC sexual scores at the 19- to 24-month time period, suggesting a more complex etiology of sexual dysfunction in patients treated with curative radiotherapy Although the impact of incidental testicular irradiation on gonadal function is determined, the further repercussion on sexual function remains to date speculative. As demonstrated by Yuan et al.The relationship between the incidental testicular dose and the recovery time of testosterone to normal levels has been studied by Pickles et al. were unable to demonstrate a significant change in testosterone levels, even if the subgroup of patients with normal pre-treatment gonadal function was the only one to experience a significant decrease in the testosterone levels at all time periods (approximately 20%) As far as the radiotherapy techniques are concerned, some points merit special considerations. First, while the widespread use of stereotactic body radiation therapy (SBRT) has the potential to decrease the integral dose to the testis compared to standard fractionated regimens, caution to avoid beams directly traversing the testicles and to limit the scattered dose is required when non-coplanar robotic arm devices are used In summary, in the wide spectrum of radiation-induced toxicities, hypogonadism induced by incidental testicular irradiation constitutes an often neglected and underestimated side effect observed in men with PCa treated with curative radiotherapy. Although the relationship with the sexual function and disease control remains to be elucidated, approaches in planning optimization and image guidance trying to limit testes doses are therefore highly encouraged when irradiating curatively PCa patients.The authors declare that they have no known competing financial interests or personal relationships that could have appeared to influence the work reported in this paper."}
+{"text": "Digital interventions for common mental disorders are coming of age. The uptake of evidence-based self-guided and guided (a-synchronic in time) cognitive behavioural digital interventions for depression and anxiety in routine care is however low. Blended treatment formats appear an attractive alternative for routine care settings as these combine face-to-face sessions with digital ones in integrated treatment protocols. Yet little is known about the clinical and cost-effectiveness of blended CBT (bCBT). In this presentation I will touch upon the current state of the art of digital interventions for depression and anxiety disorders, including blended formats in routine care and I will go beyond that state by addressing new developments. I will illustrate these new developments by virtue of several studies (RCT\u2019s) we conducted on the clinical and cost-effectiveness of blended CBT interventions (and their implementation) in routine care settings. A specific focus will be put on blending digital phenotyping in CBT treatment which includes mobile ecological momentary assessment tools and AI algorithms.While digital mental health for depression and anxiety in routine care was boosted through the Covid-19 pandemic, the question remains whether the current knowledge base will leveraging digital mental health research and services to the next level. Implications for future research on blended treatments and clinical applications in routine care will be discussed.None Declared"}
+{"text": "Ironically, the correlation between systemic pathologies and caries/ periodontal diseases is commonly accepted by the scientific and medical community, but the fact that severe mental illnesses may affect one\u2019s physical health, and thus lead to poor oral health is less well-known.This clinical case report\u2019s aim is to raise awareness among medical staff about the relevance of appropriate management of patients with severe mental illnesses in terms of dental care.Illustration of integrative management through the description of the oral rehabilitation of a 63-year-old female whose bipolar disorder had been diagnosed 20 years ago. This patient came in May 2020 to the Cliniques Universitaires Saint-Luc for painless mobility of the lower central incisors. Her diagnosis later revealed more than 20 advanced carious lesions as well as chronic severe periodontitis. Since then, despite numerous dental treatments and regular follow-up appointments, an important degradation of her oral health could be noted over time, characterized by a recurrent carious phenomenon and a failure in the stabilization of her periodontitis.The literature review revealed that bipolarity was a major risk factor leading to tooth decay and aggravation of periodontal disease; when bipolar disorders\u2019 inherent symptoms are coupled with medication\u2019s side effects, they work in synergy towards a deterioration of oral health. Following the results obtained after this etiological research, the management of this patient was pursued in accordance with specific recommendations proposed in the literature. A stabilization of her oral condition was then observed at the 3-6-9-12 month check-ups, without the appearance of any new lesion.Image:Image 2:The positive effect obtained on this patient\u2019s oral health following the implementation of bipolar disorders specific measures opens the discussion on the relevance of integrating individual strategies within the therapeutic management of patients with severe mental illnesses.None Declared"}
+{"text": "Editorial on the Research TopicInsights in Anti-doping Sciences: 2021The year 2021 may represent a turning point in anti-doping with the enforcement of a new World Anti-Doping Code after a thorough revision of the 2015 edition that came in force in 2021 and from a theoretical perspective, Petr\u00f3czi & Boardley address \u201cregulative, normative, and cognitive components of clean sport if we are to maximise its legitimacy\u201d Krumm et al. underlines major confounders as a starting point towards selection and validation of new approaches to rapidly reinforce the ABP. Krumm et al. interestingly highlight that research including the administration of doping substances result systematically in more atypical passport findings (ATPFs) in comparison to interventions including for example exercise training of hypoxic exposures while ATPFs are not excluded in the latter. Putting more weight on confounders to better target tests or interpret biological profile is therefore paramount.From a more practical point of view, the concept of the indirect detection of doping by monitoring hematological and steroidal variations in athletes longitudinally still represents a useful strategy in the anti-doping toolbox. Recent research and discussion among anti-doping stakeholders in various workshop and conferences push towards testing and implementing new biomarkers for the ABP. However, hemoglobin concentration [(Hb)] as a primary biomarker for the hematological module of the ABP are influenced by plasma volume shifts. The perspective article presenting the future opportunities for the ABP Saugy et al. reported that mean effects of rhEPO on blood parameters were greater than those induced by hypoxic exposure [1.7 times higher for (Hb) and reticulocytes percentage and 4 times higher for hemoglobin mass]. The interpretation of ABP profiles is hence facilitated by this identification of \u201ctemporal and quantitative evolution of blood parameters in connection with different hypoxic exposure doses, as well as different rhEPOs doses\u201d.Further, the comparative impact of either altitude exposure or recombinant human erythropoietin (rhEPO) injections on ABP parameters is evaluated. In their review, Donati et al. minimize false negatives by expanding the antigen panel, selecting more accurately the gating area of the red blood cells and optimizing instrumental protocols. Their experimental approach was thus successful in samples simulating HBT between two compatible subjects.With the evidence that the detection window and methods for EPO have improved, athletes regained interest in blood transfusions as an effective method to illegally boost their muscle oxygen convective transport. Homologous blood transfusion (HBT), i.e., with blood from a compatible donor, was widely used before it was forbidden in 1985 and athletes began to use rhEPO. Detecting autologous (reinjecting your own blood) however remains challenging with no internationally recognized method for its detection. In that context, an original research proposed a strategy to reduce false-negative results by improving the current antigen method The objective of this Research Topic is to provide well-documented insights by experts in the field to address the current challenges faced in the anti-doping efforts.The body of evidence provided in this Research Topic supports the application of the updated 2021 World Anti-Doping Code as a robust basis to define priorities and strategies to tackle athletes trying to cheat. The included articles reflect research in this niche field ranging from perspectives to reviews with original research needing to answer pragmatically questions that arise in the daily implementation of the Code.This Research Topic ultimately allows to collect and discuss existing evidence with practical proposals and empirical findings to strengthen the fight against doping."}
+{"text": "Exercise is a powerful physiological modulator of metabolism that represents a cornerstone in the prevention and treatment of various metabolic diseases . The protective effect of exercise on metabolic abnormalities involves multiple tissues, of which skeletal muscle is highly important because it is a major determinant of resting energy expenditure that may2max) and muscle growth after aerobic and resistance exercise training are also known to exist and fitness level associate with inter-individual differences in local and systemic aspects of metabolic efficacy during exercise. They propose that the ACE-D allele influences differences in acute exercise-induced aerobic metabolic processes at the level of skeletal muscle and lung tissue in different fitness states. They further argue that in aerobically fit subjects, dependence on mitochondrial function in working muscle is relatively more important for increased power output in D-allele carriers than in non-carriers.In this Research Topic, Fortino et al. subjected young male and female individuals to eccentric contraction exercise in order to evaluate gender differences in the myogenic and inflammatory response. It has long been known that eccentric exercise increases satellite cell expression and inflammatory responses in human muscle is identified as a myokine released from contracting muscle that enhances glucose uptake in cultured myotubes. This suggests that LIF plays a role in autocrine regulation of muscle glucose metabolism during exercise.In order to identify factors that regulate the inter-individual metabolic differences occurring following exercise, it is also important to develop unique experimental models that allow control of external and internal factors affecting the metabolic responses. By the use of omics analyses, Janzen et al. seek to explore the molecular mechanisms that regulate intramuscular glucose utilization during exercise. Janzen et al. identify that AMPK DKI mice have decreased exercise endurance and maximal running capacity likely due to higher and lower glucose and fat oxidation during exercise, respectively. Although the knock-in mutation in the glycogen-binding region of AMPK \u03b2 does not affect glycogen content in rested and exercised muscle, findings presented by Janzen et al. suggest that the binding of AMPK \u03b2 to glycogen is necessary to preserve exercise endurance and maximal running capacity by securing proper substrate utilization during exercise.AMPK \u03b2 is regarded as the glycogen-binding subunit of the AMPK heterotrimeric complex as it contains a carbohydrate-binding module . Introduvia unique physiological and biological approaches. Such findings are ultimately important for establishing effective, efficient, and personalized exercise programs for all individuals in order to secure a healthy lifestyle and prevent development of metabolic diseases.In summary, this Research Topic has advanced our understanding of the mechanisms regulating whole-body and skeletal muscle metabolism in response to various forms of exercise. Specifically, the series of articles have addressed some of the factors that cause inter-individual differences in metabolic changes following exercise. Moreover, new regulatory mechanisms of energy metabolism at rest and during exercise have been elucidated Exercise adaptations are controlled by numerous regulatory and interacting protein networks of which many still need to be fully described. In addition, non-protein molecules such as lipids and metabolites are presumably also mediators of exercise adaptive responses but have not been adequately studied in detail. Mechanistic investigations of these molecular determinants will provide the basis for new hypotheses and ideas about the mechanisms responsible for the exercise-induced adaptations in skeletal muscle. This will contribute to our understanding of the health beneficial and therapeutic effect of regular exercise that may be exploited for pharmacotherapies to combat various lifestyle and chronic diseases."}
+{"text": "Face and neck burns bring unique complications and often require specific training and experience for the burn physical rehabilitation professional. The COVID-19 Pandemic created a need for virtual learning during a time when in-person learning was not possible. While this format can meet some needs, it does not allow for practice and interaction with instructors. There are limited education and training opportunities for burn therapists which include such extensive practical opportunities. This unique didactic training program provided mentorship and tangible skills of a complex and specialized area of burn rehabilitation. \u2022 Learning Objectives were determined using the Burn Therapist Competency Tool-Version 2 \u2022 Developed curriculum for each facial/neck regions as well as various scar management techniques throughout the continuum of care \u2022 Individual modules were developed by Occupational Therapists, Physical Therapist and Speech and Language Pathologist with experience in the field \u2022 The in-person course consisted of 4 hours of lecture and 8 hours of hands-on splinting and scar management training \u2022 Instructors provided interactive and collaborative feedback for every participant Pre & Post testing completed to assess learning \u2022 Feedback from participants was assessed for quality improvement \u2022 Follow up questionnaire was provided to assess implementation into clinical practice and self-perceived level of experience related to rehabilitation of face/neck burns24 Occupational, Physical and Speech Therapists participated in the 2-day course. Results of the post-test indicate increased knowledge pertaining to the learning objectives. 21 participants remained for the second day of the hands-on splinting and scar management portions and demonstrated learned knowledge of these intervention techniques. Post-course assessments attest to increased comfort with new skills. Participant follow up gaged overall effectiveness of clinical practice improvements.Participant feedback provided valuable insight into the ongoing need for training and mentoring of burn therapists. This is vital in developing additional training resources, including step-by-step explanation and video content for repetition and learning. Ultimately, implementation of these new skills into each participant\u2019s clinical practice was the desired outcome of this course.This project highlighted the gap in knowledge for burn therapists when it came to face and neck burns."}
+{"text": "In the Author Summary, there is an error in the second sentence. The correct sentence is: In places where injectable treatment is not available, the World Health Organization (WHO) malaria guidelines recommend that children below 6 years of age be administered a single dose of rectal artesunate (RAS) before being referred to a higher-level health facility for parenteral treatment completed with a full course of artemisinin-based combination therapy (ACT)."}
+{"text": "Prediction modelling increasingly becomes an important risk assessment tool in perioperative systems approaches, e.g. in complex patients with open abdomen treatment for peritonitis. In this population, combining predictors from multiple medical domains outperforms the prediction capabilities of single-domain prediction models. However, the benefit of these prediction models for clinical decision-making remains to be investigated. We therefore examined the clinical utility of mortality prediction models in patients suffering from peritonitis with a decision curve analysis.In this secondary analysis of a large dataset, a traditional logistic regression approach, three machine learning methods and a stacked ensemble were employed to examine the predictive capability of demographic, physiological and surgical variables in predicting mortality under open abdomen treatment for peritonitis. Calibration was examined with calibration belts and predictive performance was assessed with the area both under the receiver operating characteristic curve (AUROC) and under the precision recall curve (AUPRC) and with the Brier Score. Clinical utility of the prediction models was examined by means of a decision curve analysis (DCA) within a treatment threshold range of interest of 0\u201330%, where threshold probabilities are traditionally defined as the minimum probability of disease at which further intervention would be warranted.Machine learning methods supported available evidence of a higher prediction performance of a multi- versus single-domain prediction models. Interestingly, their prediction performance was similar to a logistic regression model. The DCA demonstrated that the overall net benefit is largest for a multi-domain prediction model and that this benefit is larger compared to the default \u201ctreat all\u201d strategy only for treatment threshold probabilities above about 10%. Importantly, the net benefit for low threshold probabilities is dominated by physiological predictors: surgical and demographics predictors provide only secondary decision-analytic benefit.DCA provides a valuable tool to compare single-domain and multi-domain prediction models and demonstrates overall higher decision-analytic value of the latter. Importantly, DCA provides a means to clinically differentiate the risks associated with each of these domains in more depth than with traditional performance metrics and highlighted the importance of physiological predictors for conservative intervention strategies for low treatment thresholds. Further, machine learning methods did not add significant benefit either in prediction performance or decision-analytic utility compared to logistic regression in these data.The online version contains supplementary material available at 10.1186/s12911-023-02156-w. Advanced statistical methods such as those summarized under the term machine learning are becoming ever more important in the analysis of medical data as illustrated by the rapid and exponential increase in the number of machine learning papers . Such memodel evaluation, the important issue of calibration has traditionally received only little attention relative to the issue of model performance [However, several issues in terms of building, evaluating and using such clinical prediction models and questions regarding the added benefit of advanced machine learning methods over traditional statistical methods have been noted recently: First and in terms of formance . Calibraformance . Modern formance .model performance, the discrimination capacity of these prediction models is traditionally evaluated by means of the area under the receiver operating characteristic curve (AUROC) [Second and in terms of (AUROC) . Predict (AUROC) , the AUR (AUROC) . In such (AUROC) . In addi (AUROC) .clinical utility, it has been noted that the question how and if such prediction models can improve care delivery and disease management cannot be determined by solely inspecting model discrimination or model calibration [Third and in terms of ibration , 17. Intibration . DCA cenibration . Overallibration . DCA hasibration , oncologibration and manyibration , 24.machine learning for prediction modelling, a systematic reviews showed no benefit in terms of performance gain by more advanced statistical machine learning algorithms over the traditional method of logistic regression [Fourth and in terms of gression . To levegression . Stackedgression , the risgression , the COVgression and the gression .In this study, we aim at applying these methods holistically to a clinical prediction model for a previously defined cohort of patients with open abdomen treatment for peritonitis, a clinically challenging cohort deserving optimal resource allocation at the time of admission to intensive care. While the performance benefit of using predictors from multiple medical domains could be recently demonstrated , the benThe aim, therefore, is to examine if single- and multi-domain prediction models provide a higher net benefit than the default intervention strategy of \u201ctreat all\u201d (where the intervention consists of the broad interventions mentioned above). In addition, we employ several base machine learners and a stacked ensemble to examine the potential benefit of modern machine learning methods compared to regular and penalized logistic regression both in terms of model performance and in terms of clinical utility by means of a decision curve analysis.This is a secondary analysis of a study performed in adherence to the principles in the Declaration of Helsinki and which was approved by the Hamburg Medical Association (#WF072/20). In brief, the initial study described a cohort of 1,351 consecutive adult patients surgically treated for peritonitis over a decade (January 1998 to December 2018) at the Department of General and Visceral Surgery of the Asklepios Hospital Altona, Hamburg, Germany, with survival as primary outcome measure [Categorical variables were summarized by counts and percentages and compared by means of a chi-square test. Numerical variables were summarized with median and interquartile range and compared by means of an unpaired two-sample Wilcoxon test.The study follows the network \u201cEnhancing the QUAlity and Transparency Of health Research\u201d (EQUATOR)\u2019s guideline for transparent reporting of a multivariable prediction model for individual prognosis or diagnosis (TRIPOD) .As recommended in the literature , Fig.\u00a01 alpha and lambda (shrinkage parameter) for Elastic Net; mtry (number of variables to possibly split at in each node), splitrule (splitting rule), min.node.size for Random Forest and n.trees , interaction.depth (maximum depth of each tree), shrinkage (shrinkage parameter) and n.minobsinnode for Gradient Boosting Machine. The hyperparameters with the largest AUROC value were chosen as the optimal hyperparameters.In terms of model training for each method, a repeated random stratified sampling with respect to the outcome variable was performed where 66% of the available data was assigned to a training set and the remaining 34% to a test set. Fifteen hyperparameter settings for each tunable hyperparameter were randomly sampled for each round of a 5-times repeated 5-fold cross-validation. The following hyperparameters were available for tuning: Calibration of the prediction models was assessed by means of calibration belts and assoDecision curves are computed based on the model predicted probabilities for the test dataset of each random split-sample, allowing to illustrate both the median and 95%-confidence interval of the net benefit for a given treatment threshold. The decision curves were computed for each base learner and the stacked learner and separately for each medical domain within the treatment threshold range of interest (0-30%). To aid the interpretation of the decision curve, we note that the maximum net benefit is equal to the mortality prevalence , 39, whiThe original dataset contained several systematically missing data not at random as discucaret package [dcurves package [In terms of statistical software, the prediction models were computed with the package decision package . All com package .Patients\u2019 characteristics are summarized in Table\u00a0The calibration in both single- and multi-domain models for different types of statistical approaches is shown in Fig.\u00a0Similar to the primary study which only used logistic regression, Fig.\u00a0An overview of the performance metrics of the various prediction models is shown in Table\u00a0Figure\u00a0Another result is that the decision-related net benefit of the prediction models is limited to threshold probabilities above about 10%: for lower thresholds, the net benefit is equal to the default intervention strategy of \u201ctreat all\u201d and thus provides no added decision-related value. For threshold ranges between 10 and 20%, the decision-related added benefit from the prediction models derives predominately from physiological factors . As the stacked learner is based on the cross-validated predicted probabilities of the individual base learners, it shares many calibration features of the individual base learners: For example, the stacked demographic prediction model features the same miscalibration as the demographic prediction model based on the random forest. However, the multi-domain prediction model of the stacked learner is well calibrated (p\u2009=\u20090.24). The performance metrics of the stacked ensemble are similar to the individual base learners Fig.\u00a0B. AdditiWe assessed the benefit of machine learning methods both in the terms of predictive performance and clinical decision-related benefit in a large cohort of patients with open abdomen treatment for peritonitis. Similar to the primary analysis , the mulThe fact that more advanced machine learning prediction models demonstrate similar performance metrics as regular and penalized logistic regression is likely related to the sample size and the limited number of predictors: in these cases , a simulation study recently demonstrated that conventional logistic regression features good prediction performance compared to machine learning methods . The facAgainst the current questions regarding the added benefit of machine learning methods in clinical prediction modelling for binary outcomes across medical domains or in paIn terms of clinical importance, our decision curve analyses reveal different net benefits in terms of modelling clinical consequences in a suite of prediction models that are based on predictors from individual medical domains. Importantly, the framework of this study allows to assess the degree of risk aversion, for example in conservative risk-avoid strategy, for different medical domains and thus provides a much more nuanced perspective on risk modelling of patient with open abdomen treatment for peritonitis than the examination of traditional performance metrics. We focused on low threshold probabilities in the clinically-motivated range between 0 and 30% representing a conservative risk approach as we are more much more concerned about the patients\u2019 possible death than about unnecessary interventions for surviving patients. We adopted a broad, general perspective on the possible interventions based on the predicted mortality risks by the models, i.e. possible interventions could constitute running additional diagnostic tests and laboratory measurements or modifications of the existing treatment plan.Of clinical interest is that the decision curve framework revealed that the decision-related benefit of the prediction models is limited to threshold probabilities above around 10%: for lower threshold probabilities, the models\u2019 benefit is equal to the default \u201ctreat all\u201d intervention strategy. A further clinically important finding is that physiological predictors represent the domain with the largest decision-related benefit in the threshold range of interest of this study. The surgical predictors offer only secondary benefits which are limited to threshold ranges above 20%. Demographic predictors offer only marginal benefit. Importantly, these results are robust in terms of choice of the type of prediction model (i.e. logistic regression or a more advanced machine learning method).Since this study demonstrated that different domain-specific prediction model differ (i) in the magnitude of net benefit and (ii) in the threshold range when they actually do provide a benefit , we conclude that the decision curve analysis framework provides a valuable tool to compare single-domain and multi-domain prediction models. While outcome prediction traditionally relies on clinical experience and single scores, these dimensions remain very basic and more sophisticated approaches such as the one described here are warranted. Additionally, a clinically-relevant consequence of the result that that the routinely collected variables that were available for this cohort of patients with open abdomen treatment for peritonitis did not provide additional decision-related benefit for threshold probabilities below 10% is that variables from further domains (i.e. laboratory measurements) should be examined for their benefit in this low treatment threshold range.This study features inherent limitations. First, the dataset features a large degree of missing data not at random. A sensitivity analysis in the Supplementary Material using a single imputation approach to the missing data confirmed the conclusions from the complete case analysis. Second, the performance and decision-related aspects of the prediction models was evaluated only by means of internal validation and not by external validation, which is essential in terms of generalizing our results beyond the cohort of this secondary analysis . Third, Overall, we emphasize that the results and conclusions stated above apply to the clinical prediction setting of this cohort of patients with open abdomen treatment for peritonitis and the chosen threshold range (0\u201330%). Depending of the clinical setting, different threshold ranges may be required which might result in different interpretations regarding the decision-related benefit of single-domain and multi-domain prediction models.In summary, in this cohort of patients with open abdomen treatment for peritonitis we found that machine learning methods did not add significant benefit either in prediction performance or decision-analytic utility compared to logistic regression within a treatment threshold range of interest of 0\u201330%. The decision curve analysis framework provides an invaluable tool to compare single-domain and multi-domain prediction model and demonstrates overall higher decision-analytic value of the latter and highlights different net benefits for demographic, physiological and surgical predictors of as a function of threshold probability. Thus, DCA provides the means to clinically differentiate the risks associated with each of these domains in more depth than with traditional performance metrics.Below is the link to the electronic supplementary material.Supplementary Material 1Supplementary Material 2"}
+{"text": "Primary intrinsic brain tumors and brain metastases are among the most lethal of all human malignancies despite decades of scientific advances. The intersecting fields of cancer epigenetics and metabolism lie at the core of our current conceptual framework for the pathophysiology of these diseases , 2. WhilMcCornack et\u00a0al. discuss mechanisms by which histone methyltransferases and acetyltransferases mediate these diverse processes including reviewing downstream signaling elements and therapeutic targeting opportunities. Valproic acid is a commonly used anti-epileptic with anti-tumor effects through its histone deacetylase (HDAC) activity; however, in this Research Topic, Barciszewska et\u00a0al. define a new epigenetic role for valproic acid in the induction of global hypermethylation. This study provides a rationale for the combination of valproic acid with temozolomide for enhancing DNA damage and oxidative stress in glioblastoma tissues. Although extrachromosomal circular DNA (eccDNA) had been originally observed nearly six decades ago , and lipophagy (a lipid specific form of autophagy). Autophagy is a finely tuned cellular process that enables cancer cell survival in nutrient- and energy-poor settings that define the tumor microenvironment, but can also be exploited for anti-cancer therapies . These studies highlight the important metabolic adaptations utilized by primary brain tumors to survive in the intracranial setting and suggest a new approach to undermining these key dependencies.Tumor metabolism impinges on multiple key oncogenic processes through the coordination of signaling cascades, bioenergetics, and structural components both in a cell-intrinsic manner and in the coordination of cellular interactions within the brain tumor microenvironment. herapies . InductiZhang et\u00a0al. identify that the blood-brain barriers of patients with advanced lung cancers are more permeable than those of patients with early-stage lung cancers or healthy controls, suggesting that primary lung cancers may act at a distance to disrupt the blood-brain barrier and set the stage for future metastases. Further understanding of the processes underlying blood-brain barrier disruption may yield strategies to protect the brain from metastatic colonization. Meningiomas are among the most common primary brain tumors with widely variable prognoses based on molecular classification and morphologic features. Jiang et\u00a0al. utilize imaging characteristics from MRI studies to improve the identification of the extent of tumor invasion to facilitate improved extent of resection. This study further identifies imaging features that serve as independent risk factors for predicting WHO tumor grades through deeper scrutiny of interactions within the brain-tumor interface.Epigenetic and metabolic pathways further support tumor cell invasion. The blood-brain barrier preserves the integrity of the central nervous system and shields against toxins from the central circulation and from invading cancer cells. Breaching the blood-brain barrier is a critical step in the metastatic cascade responsible for the generation of brain metastases . Zhang eBai and Zhou investigate the role of bevacizumab in patients with lung or colon brain metastases, showing differential effectiveness based on the tumor of origin. The prognosis for patients with brain metastases from non-small cell lung cancer remains dismal, particularly when patients are not candidates for surgical resection due to a variety of patient or tumor characteristics. Yang et\u00a0al. study the use of an alternative radiation therapy delivery modality, 125-Iodide brachytherapy, compared to external beam radiotherapy (EBRT) and find improved 6-month survival and similar 12-month survival for the 125-iodide group compared to the EBRT group. This study provides further evidence for an additional modality for the treatment of brain metastases.This Research Topic further touches on therapeutics in the intracranial setting. Vasogenic edema is a major source of morbidity and mortality in intracranial malignancies with limited treatment options . While sJohanssen et\u00a0al. describe the current state of basic and translational research as it applies to glioblastoma with a discussion of the importance of understanding brain tumors through the lens of intratumoral heterogeneity and within the context of their tumor microenvironments. They suggest the use of both rationally designed and hypothesis-generating unbiased combinatorial screening approaches that incorporate heterogeneous tumor models as well as important microenvironmental features to identify compounds and combination therapies with the greatest clinical utility. Taken together, this Research Topic highlights some of the latest advances in the fields of brain tumor biology, specifically focused on the intersection between cancer epigenetics and metabolism and touching on key elements of the tumor microenvironment, with an eye towards improving outcomes for patients with primary and metastatic brain tumors.In a prescient and well-timed review, RG: Writing \u2013 original draft, Writing \u2013 review & editing. BP: Writing \u2013 original draft, Writing \u2013 review & editing. QX: Writing \u2013 original draft, Writing \u2013 review & editing."}
+{"text": "To compare the effect of statin use in relation to castration-resistant prostate cancer (CRPC) treatment, we assessed the risk of ADT-treated PCa-patients to initiate CRPC treatment by statin use and the outcomes of CRPC treatment by statin use. Our study cohort consisted of 1169 men who participated in the Finnish Randomized Study of Screening for Prostate Cancer (FinRSPC) and initiated androgen deprivation therapy (ADT) during the follow-up (1996\u20132017). Statin use was associated with slightly decreased risk of initiating CRPC treatment with a 5.7 years\u2019 median follow-up until CRPC for non-users and 7.5 years for statin users. The risk of discontinuation of first or second line CRPC treatment due to inefficacy was not modified by statin use and the results remained similar in subgroup analysis assessing separately patients treated with taxans or androgen receptor signaling inhibitors. We observed an inverse association between statin use and the risk of initiation of the CRPC treatment. No beneficial risk modification by statin use during CRPC treatment was observed. These results suggest that statins might be beneficial during hormone-sensitive phase but not in the later phases of prostate cancer treatment. The beneficial effect of statins seems, however, not to be limited to cardiovascular prevention. Several studies have found statins to be linked to either improved prostate cancer mortality or progression-free survival6. However, results on statins\u2019 effect on prostate cancer mortality or risk of biochemical recurrence have been partly conflicting. Hence, it is still unclear if the possible benefit of statins is limited to a subgroup of cancer patients e.g. those receiving specific cancer treatment9. Especially, prostate cancer patients on androgen deprivation therapy have been consistently reported to benefit from concurrent statin use13.Statins lower blood cholesterol levels and decrease morbidity and mortality in cardiovascular diseases, especially in secondary prevention12. Raittinen et al.14 compared atorvastatin to placebo and reported atorvastatin to induce adrenal androgen downshift possibly providing a novel pathway reducing androgen concentration in prostate cancer patients. Hu et al.15 found that statins have synergistic effect with abiraterone on neuroblastoma progression in vitro and in vivo. Our previous report showed an additive inhibitory effect of statins on prostate cancer cells in combination with enzalutamide16. Some studies have also demonstrated growth inhibition or induction of apoptosis in prostate cancer cells for statins in combination with docetaxel20.In vitro studies have proposed possible mechanisms that may explain potential additive effects of statin use in combination with androgen deprivation therapy, chemotherapy or androgen receptor signaling inhibitors. Harshman et al. showed statins to competitively reduce uptake of dehydroepiandrosterone sulfate (DHEAS) by prostate cancer cells suggesting a plausible mechanism to reduce supply of DHEAS and act in synergism with ADT21. However, the possible modifying effect of statin use on prognosis of castration-resistant prostate cancer patients treated with docetaxel, enzalutamide or abiraterone still needs further evaluation. Some studies have shown an additive effect of statins combined with either abiraterone or abiraterone/enzalutamide24, but studies assessing statins\u2019 effect on PCa patients treated with docetaxel are scarce.Several epidemiological studies and at least one meta-analysis have reported improved overall and cancer-specific survival in prostate cancer patients treated with statins plus androgen deprivation therapyWe assessed the risk of developing castration-resistant prostate cancer (CRPC), risk of initiation of first- or second-line CRPC treatment and discontinuation of CRPC treatment due to inefficacy in a population-based cohort of men receiving androgen deprivation therapy for prostate cancer.The Finnish Randomized Study of Screening for Prostate Cancer (FinRSPC) is a randomized population-based trial assessing the effect of systematic screening with prostate-specific antigen on prostate cancer mortality. The trial population consisted of all men aged 55, 59, 63 or 67 at baseline residing in Helsinki and Tampere metropolitan areas in Finland. We identified all participants of FinRSPC from Tampere metropolitan area diagnosed with prostate cancer and initiating androgen deprivation therapy during 1996\u20132017. Those 1169 men formed the study cohort for the present study. The follow-up started at the initiation of androgen deprivation therapy and continued until death, emigration from Finland or 31 December 2017, whichever occurred first.Statistics Finland registers all deaths in Finland. Patients with prostate cancer (ICD-10 C61) as a primary cause of death were defined as prostate cancer deaths. In addition, all other causes of deaths were acquired from the database. Statistics Finland gave permission for using the cause of death data (TK/3536/07.03.00/2021).25. The Finnish Institute for Health and Welfare has approved this study protocol and all methods were carried out in accordance to relevant guidelines.The FinRSPC study protocol has been described comprehensively previously and informed consent was obtained from all FinRSPC participants2. Information on the amount, dosage, generic name, and purchase dates was obtained for all statin purchases. In analyses utilizing \u2018any statin use\u2019 each year with recorded statin purchases was considered as a year of usage. The mg amount of different statins was standardized by dividing the total mg amount of statins with the amount corresponding to a Defined Daily Dose (DDD) defined by the World Health Organization26. Intensity of statin use (average DDDs/year) was calculated by dividing cumulative DDDs with number of years with statin usage. Statin use status was allowed to change on a yearly basis. Dichotomous statin use variables (any/none) and intensity variables were updated for each follow-up year based on recorded purchases. After first reimbursed drug purchase, status remained as ever user even when purchases stopped, to limit bias related to the tendency to discontinue statins during the final stages of cancer. Statin exposure in different analyses is illustrated in Fig.\u00a0The study cohort was linked to the National Prescription Database maintained by Social Insurance Institute of Finland (SII) to obtain information on statin purchases. SII provides reimbursements for purchases of physician-prescribed medications in Finland and registers nearly all drug purchases (over-the-counter purchases not included). The reimbursement system has been described in detail previouslyThe cohort was also linked to the database of Care Register for Health Care (Hilmo) maintained by the National Institute for Health and Welfare to obtain diagnoses from inpatient and outpatient hospital contacts during the follow-up. By using hospital episode diagnoses until year 2000, we calculated a modified Charlson comorbidity index, which was utilized as surrogate for overall comorbidity and short-term risk of dying.The information on CRPC treatment was obtained from electronic patient record system of Tampere University Hospital and included all initiation and ending dates during 2001 to 2020, type of treatment and cause of discontinuation of treatment.Risk of three different outcomes were examined by statin use: the risk of initiating the first-line treatment for CRPC, the risk of initiating second- or third-line treatment for CRPC and the risk for a given CRPC treatment to end due to inefficacy.Cox proportional hazards regression was used to estimate hazard ratios (HR) and 95% confidence intervals (95% CI) for the risk of initiation of CRPC treatment Table . Statin Logistic regression was used to estimate the odds ratios for the risk of second- and third-line CRPC treatment by statin use status after the initiation of previous CRPC treatment line Table . The folThe risk of a given CRPC treatment to discontinue due to inefficacy was estimated using Cox proportional hazards regression Table . Statin We used adjustment for age at diagnosis, EAU risk group and Charlson comorbidity index in analyses. Statin use was considered as a time-dependent variable in analysis assessing risk of initiating CRPC treatment and as a fixed variable (statin use on initiation year of CRPC treatment) in all other analyses (risk of initiation of CRPC treatment and risk of treatment to end due to inefficacy). When statins\u2019 effect on risk of next CRPC treatment line initiation and discontinuation of current CRPC treatment line due to inefficacy was examined, patients were divided as statin users and nonusers at the year of initiation of CRPC treatment and status was updated for each treatment line separately.Of the 1,169 men, who received androgen deprivation therapy, 615 (52.6%) had used statins during the follow-up. During the median follow-up of 7.5 and 5.7 years, there were 99 prostate cancer deaths among statin users and 150 among non-users. In comparison, there were 289 (47.0%) and 340 (61.4%) overall deaths among statin users and non-users. Use of co-medications, i.e., antidiabetics, antihypertensive drugs, NSAIDs and aspirin was clearly more common among statin users .The median duration from ADT initiation to first-line CRPC treatment was 4.1 years for statin non-users (111/68.9%) and 6.0 years for statin users 50/31.1%), respectively. Statin use was associated with a decreased risk of initiation of CRPC treatment or third-line CRPC treatment was observed. In subgroup analyses stratified by median amount of DDDs used at the initiation year of CRPC treatment line, risk modification was not observed, either Table .Table 4RWe did not observe any meaningful differences by statin use in the risk of discontinuation of CRPC treatment due to inefficacy Table . Hazard The duration of first-line CRPC treatment was not affected by statin use status Fig.\u00a0.Figure 2Statin use among men receiving ADT for PCa was associated with a lower risk of initiating CRPC treatment. This is consistent with previous findings suggesting that statin use may enhance the therapeutic effect of ADT. In contrast, statin use was not associated with risk of initiating second- or third-line CRPC treatment or treatment discontinuation for inefficacy. Contrary to our initial hypothesis, statin users were statistically significantly more likely to have shorter duration of second-line CRPC treatment than non-users.27. Two of those studies also found statins to be linked with better prostate cancer-specific survival21. Especially, the statin use after initiation of ADT has provided most consistent results showing statins to improve prognosis in patients with advanced PCa. In our analysis, the follow-up started at the initiation of ADT and only statin use occurring at the year or after the initiation of ADT was taken into account with time-dependent statin use variables that were allowed to change on a yearly basis. This enabled us to manage immortal time bias which is known to potentially cause results favoring medication users in pharmacoepidemiologic studies28.Three recent meta-analyses have shown statins to be associated with improved overall survival in prostate cancer patients treated with ADT20. To our knowledge, there are no published epidemiological studies assessing specifically the effect of docetaxel or other taxans in combination with statins on prostate cancer prognosis. Our study cohort consisted of men whose primary CRPC treatment was mostly (41.6%) docetaxel reflecting the treatment guidance and reimbursement practice in the beginning of twenty-first century and thus we were able to analyze statins\u2019 potential benefit in combination with docetaxel. In subgroup analyses, we did not observe statistically significant difference in the risk of first or second line taxan treatment line to discontinue as ineffective between statin users and non-users.A couple of previous in vitro studies have found statins to have additive inhibitory effect on prostate cancer cell growth in combination with docetaxel24. However, at least one study showing no benefit from statins in combination with abiraterone exists29. In our cohort, we did not observe differences by statin use status in the risk of enzalutamide or abiraterone treatment to discontinue due to inefficacy. However, our cohort size in regard of subgroup analyses was relatively small and minute differences between groups were not detectable in this analysis. Nonetheless, in our analysis of duration of second line CRPC treatment which consisted mainly of abiraterone or enzalutamide, we observed statistically significantly longer second treatment line duration in men not treated with concurrent statins. This finding that is not in line with previous results might be explained by increased risk of side effects or poorer toleration of treatment among statin users due to e.g. comorbidities or poor performance status which are known to be linked both to statin use status and treatment-associated adverse effects31. Additionally, our analysis examining the risk of treatment line to end due to inefficacy differs from previous studies by outcome measure as survival, per se, was not in scope.Previously, some epidemiological studies have found statins to improve prognosis in castration-resistant prostate cancer treated with enzalutamide or abirateroneThe durations of treatment lines for CRPC were relatively short and therefore we were forced to use mostly fixed statin use variables in these analyses predisposing us to healthy-user bias as discontinuation of statins becomes more likely with shorter life-expectancy. As no statistically significant differences despite this potential source of bias favoring statin users were observed, this is suggestive that statins do not have marked benefit in this late phase of prostate cancer treatment. In addition, healthy user bias would probably not pose a major problem in this situation because PCa patients initiating treatment for CRPC still may have years of life remaining and therefore discontinuation of statin use is unlikely to happen that early. Considering the current evidence, we suppose the optimal timing of statin use in relation to prostate cancer treatment to be concurrently with androgen deprivation therapy.32. The participants of FinRSPC study were followed-up during 1996\u20132017 which represents the era when androgen receptor signaling inhibitors (ARSI) were initiated less frequently and mostly for the second line treatment of CRPC. Due to that fact the number of patients treated with ARSIs remains relatively low limiting detection of possible differences in subgroup analysis.The drug reimbursement practice in Finland has changed since the start of follow-up as at that time enzalutamide or abiraterone purchases were reimbursed only for patients previously treated with docetaxel. The current treatment guidance by European Association of Urology recommends the initiation of abiraterone or enzalutamide increasingly in the earlier phase of disease limiting the generalizability of these results for the presentWe were able to analyze the association between statin use and the risk of developing castration resistant prostate cancer and the outcomes of CRPC treatment by statin use in our population-based cohort of 1,169 men initiating ADT during the follow-up. The comprehensive and reliable data provided by national databases and electronic patient records enabled us to conduct a multi-variable analysis assessing the risk of ending to CRPC by using time-dependent statin use variables and adjustment for patient age, EAU risk group and Charlson comorbidity index. The precise information on the durations of CRPC treatment lines allowed us to compare the outcomes of first and second line CRPC treatment by statin use status at the initiation of each treatment lines. However, we did not have information on behavioral factors such as smoking, diet, use of health services and physical activity which might represent potential confounding factors.Based on the results of this study and previous studies, we believe statins to be of most benefit for the treatment of hormone-sensitive prostate cancer in combination with ADT. It can be assumed that statin-induced decrease in circulating cholesterol, which is a precursor for steroid hormone synthesis, eventually leads to decrease in androgen biosynthesis. Therefore, of medications currently on the market for the treatment of prostate cancer, statins\u2019 anticancer effects probably resemble most abiraterone which reduces androgen production by blocking enzyme CYP17. Similarly to abiraterone, statin use may provide survival benefit especially when used in the hormone-sensitive phase.Our results support previous epidemiological studies showing statin use may improve survival in concurrent use with ADT and suggest better PCa-specific survival among statin users to be explained by longer time to development of castration-resistant prostate cancer. Considering the main results of this study and the results of previous studies assessing the prognosis of PCa patients by statin use, we suggest the optimal time window for statin use to be concurrently with androgen deprivation therapy. Therefore, future trials assessing the benefit of statin use in PCa prognosis should focus especially on that period when plenty of quality life years can still be saved.In our population-based cohort consisting of 1,169 men initiating ADT during the follow-up, inverse association between statin use and the risk of developing CRPC was observed. This finding is in line with previous studies detecting statins might be linked to improved prostate cancer prognosis among ADT treated patients. In our cohort, we did not observe statistically significant improvement by statin use in survival of CRPC patients. These results are suggestive that optimal timing of repurposing statins on prostate cancer treatment is concurrently with androgen deprivation therapy."}
+{"text": "The kinetics of myosin controls the speed and power of muscle contraction. Mammalian skeletal muscles express twelve kinetically different myosin heavy chain (MyHC) genes which provides a wide range of muscle speeds to meet different functional demands. Myogenic progenitors from diverse craniofacial and somitic mesoderm specify muscle allotypes with different repertoires for MyHC expression. This review provides a brief synopsis on the historical and current views on how cell lineage, neural impulse patterns, and thyroid hormone influence MyHC gene expression in muscles of the limb allotype during development and in adult life and the molecular mechanisms thereof. During somitic myogenesis, embryonic and foetal myoblast lineages form slow and fast primary and secondary myotube ontotypes which respond differently to postnatal neural and thyroidal influences to generate fully differentiated fibre phenotypes. Fibres of a given phenotype may arise from myotubes of different ontotypes which retain their capacity to respond differently to neural and thyroidal influences during postnatal life. This gives muscles physiological plasticity to adapt to fluctuations in thyroid hormone levels and patterns of use. The kinetics of MyHC isoforms vary inversely with animal body mass. Fast 2b fibres are specifically absent in muscles involved in elastic energy saving in hopping marsupials and generally absent in large eutherian mammals. Changes in MyHC expression are viewed in the context of the physiology of the whole animal. The roles of myoblast lineage and thyroid hormone in regulating MyHC gene expression are phylogenetically the most ancient while that of neural impulse patterns the most recent. Myosin is the motor protein in muscle cells which generates force and movement of muscle fibres by hydrolysing ATP. Structurally, it is a hexamer consisting of a pair of heavy chains (MyHC) and two pairs of light chains (MLC1 and MLC2) which together form a two-headed molecule with an elongated rod-like tail. The C-terminal halves of the heavy chains are \u03b1-helical and wrap around each other to form the tail, while the N-terminal halves form the globular heads, each of which contains an ATPase site and an actin binding site. Each head is attached to the rod by a lever arm domain to which the essential light chain (MLC1) and the regulatory light chain (MLC2) are attached. In striated muscles, myosin molecules assemble into thick filaments with the heads on their surface. During muscle contraction, myosin heads act as cross-bridges that cyclically interact with actin molecules of the thin filaments, hydrolysing ATP and generating force and movement. During the chemo-mechanical coupling, small conformational change in the catalytic domain of the head gets amplified by the lever arm Squire . This cyMyosin controls the kinetics of energy transduction from ATP, and through it, the kinetic properties of muscles. The speed of contraction of a muscle is generally proportional to the ATPase activity of its myosin Barany . As the Prior to 1960, it was known that all mammalian limb muscles were slow at birth, the differentiation into the fast and slow types occurred during the first few weeks after birth (MYH10) which is only expressed in extraocular muscle as well as that of the atrial (MLC1A) myosin and the possible enhancement of the basal level of phosphorylation of MLC2 in small animals could significantly contribute to their higher basal metabolic rate.The release of myosin heads from SRX following phosphorylation of MLC2 has an impact on resting metabolism of the animal. Measurement of single nucleotide turnover rate of relaxed, skinned rabbit psoas muscle fibres revealed two lifetimes for nucleotide release, a fast component similar in kinetics to that of purified myosin, and a slow component that is more than 10 times slower. The slow component is attributable to the helically ordered cross-bridges in thick filaments in the SRX state while the fast component is due to cross-bridges released from the thick filament by the phosphorylation of MLC2 also has an influence of myosin kinetics. This myofibrillar protein exists in\u00a0four known isoforms: fast skeletal (fMyBP-C), slow skeletal, masticatory (m-MyBP-C) and cardiac (cMyBP-C). Much of the work on the function of MyBP-C that simulates the pattern of nerve impulses delivered by the nerve to slow muscle rapidly induces a 2B\u21922X\u21922A MyHC transition , enabling it to enter the nucleus to interact with myocyte enhancer factor 2 (MEF-2C) to induce \u03b2-slow MyHC expression , causing it to exit the nucleus, thereby disinhibiting MEF-2C to induce \u03b2-slow MyHC expression \u22120.25 25 Stahl and the This review has highlighted the fact that the pattern of expression of MyHCs in mammals is principally influenced by the complex interplay of cell lineages, neural impulse pattern, thyroid hormone, body mass and functional demand. Even before myogenesis, myoblast progenitors of craniofacial and somitic muscles from different regions of the mesoderm are channelled into specific lineages of progenitor myoblasts and satellite cells that give rise to the various muscle allotypes with different repertoires for MyHC expression during subsequent myogenesis. During somitic muscle myogenesis, myoblast progenitors that give rise to embryonic and foetal myoblast lineages emerge and form slow and fast primary and secondary myotube ontotypes which give rise to slow and various fast muscle fibre types. These ontotypes determine the topographic distribution of the fibre types within the muscle and their specific modes of response to neural and hormonal influences.During early postnatal life, the emerging myotubes simultaneously come under the influences of a surge of thyroid hormone and the different impulse patterns of fast and slow motoneurons. The surge of thyroid hormone stimulates the expression of fast MyHCs in fast muscles to enhance speed and power. Simultaneously, high frequency neural impulses from fast motoneurons modulate the expression of different fast MyHC isoforms to give rise to the various fast fibre types. In slow muscles, the slow motoneurons and the neonate\u2019s encounter with gravity generate tonic low frequency neural impulses which induce \u03b2-slow MyHC in postural muscle fibres.The postnatal surge of thyroid hormone enhances cellular metabolism Hulbert to suppo0.75 and physiological cycles should scale to (body mass)\u22120.25 \u22120.25 McMahon . Experim25 Stahl , in acco25 Stahl and\u00a0smal25 Stahl but \u03b2-sl25 Stahl and dogs25 Stahl and EO M25 Stahl while in25 Stahl and babo25 Stahl laryngeaThe functional demands on different types of muscle across the species varies considerably. Somitic muscles must deal with the postural, locomotory and energetic demands of living in a gravitational environment. The four types of fibres offer a wide range of speeds and fatiguability to satisfy these needs. They consume a very large proportion of the organism\u2019s total energy expenditure, so that minimization of energy expenditure is very important. Hence, the deployment of slow fibres of low tension cost in postural muscles and the availability of three fast MyHCs with a wide range of speed, power and fatiguability for locomotion at different speeds and other motor needs. The physiological plasticity of fibre types allows them to adapt to the pattern of use and to hormonal changes. Energy expenditure during locomotion is minimized by elastic energy saving Biewener , most liThe effects of functional demand on MyHC expression are more complex in craniofacial muscles. For EOMs, the functional demands are extremely complex, requiring a panel of twelve MyHCs Hoh . HoweverOf the mechanisms regulating MyHC gene expression in mammals, the roles of myoblast lineage and of thyroid hormone are phylogenetically the most ancient while the role of neural impulse patterns is the most recent. Distinct lineages of progenitor myoblasts giving rise to slow and fast muscle fibres have also been found in zebrafish activity (Little and Seebacher In sharp contrast to the thyroid regulation of skeletal muscle MyHCs during early vertebrate phylogeny, there is no evidence for thyroid regulation of cardiac MyHC expression in amphibians (Gauthier et al. The capacity of motor nerves in regulating muscle MyHC gene expression in mature animals is uniquely mammalian. Neural regulation confers physiological plasticity to muscle fibre types in mammals, enabling their muscles to adapt to the pattern of use during the lifetime of the animal rather than through intergenerational change via phylogenetic plasticity. Neural influence does play some role in regulating MyHC expression in developing but not in mature avian muscles. During avian development, neonatal myosin is first replaced by adult myosin at the endplate zone, the change progressively moves towards the fibre ends, the reverse occurring following denervation, suggesting that trophic factors emanating from the motor endplate may be involved in myosin regulation (Rosser et al. The ability of androgens to influence MyHC expression is found in laryngeal muscles of the Xenopus laevis, which are sexually dimorphic: all male laryngeal muscle fibres express a laryngeal specific MyHC while female laryngeal muscle expresses predominantly slow MyHC. Androgen exposure stimulates laryngeal specific MyHC in female\u00a0Xenopus laryngeal muscles (Catz et al. Although the pattern of MyHC expression in muscles of different allotypes and the regulation of MyHCs by neural and hormonal mechanisms are established in outline, a considerable amount of work has yet to be done in the future to enhance our knowledge of the molecular mechanisms in this area. Suggestions for future work on specific topics of interest have been made passim in this review. The network of transcription factors in fibres of various ontotypes that determine their different adaptive ranges in MyHC expression needs to be determined. Craniofacial muscles show considerable species variations in MyHC gene expression. Much work also needs to be done to elucidate the transcription factors and cis-regulatory regions of the various MyHC genes in different species that underlie their expression in muscles of different allotypes. It would also be interesting to compare the molecular mechanisms of MyHC regulation by androgens in muscles of different allotypes."}
+{"text": "A 51-year-old man with a history of hypertension and dyslipidemia presented with stable angina and underwent successful percutaneous coronary intervention with stent implantation to the left anterior descending. To evaluate angiographically moderate lesions in the right coronary artery (RCA) (Fig.\u00a0The mechanisms of the initiation and development of NC/CNs were not fully understood. Based on detailed histological characterizations of CNs at autopsy, CNs are hypothesized to be formed from a breakdown of calcified necrotic cores and develop between flanking areas of stable fibrocalcific plaques in coronary arteries in which hinge motion, or excessive torsion is observed, namely in the proximal to midportions of tortuous RCA . In line"}
+{"text": "Dysregulated immune responses correlate closely with CNS aging and neurodegenerative pathology. However, the heterogeneous nature of microglia and peripheral immune cells has impeded the characterization of their role and crosstalk in these processes. A comprehensive understanding of how peripheral immune cells act in concert with microglia to regulate the aging process and neurodegenerative diseases will advance the understanding of immunoregulation of neurological disorders and provide novel insights in the development of next-generation immunotherapies for various age-related neurodegenerative diseases.In contrast to the long-withheld concept that neurodegenerative diseases are \u201cneuron-centric\u201d disorders, emerging evidence from recent years has shifted this notion into a more \u201cimmune-centric \u201cview highlighting the contribution of dysregulated immune responses to disease progression . MicroglIn this Research Topic, we present a Research Topic of five articles describing different aspects of microglial and peripheral immune response in various age-related neurodegenerative diseases, including Alzheimer\u2019s disease (AD), Parkinson\u2019s disease (PD) and age-related macular degeneration (AMD). The two original research articles provide evidence of the contribution of microglial and peripheral proinflammatory responses to the neuropathology of AD and PD, respectively. Whereas the three review articles describe a general picture of brain and peripheral innate immune system in regulating neurodegenerative diseases affecting the brain and retina.Li et al. described that Acteoside (ACT), a neuroprotective compound, played a beneficial role in AD by suppressing microglial polarization towards a pro-inflammatory phenotype. Mechanistic analyses integrating multi-omics database have revealed that ACT regulates microglial polarization though oppositely modulating NF-\u03baB and AMPK pathways. These findings suggest ACT as a potential therapeutic agent for neurodegenerative disease associated with neuroinflammation. In addition to neuroinflammation, peripheral proinflammatory response may be implicated in the pathogenesis of neurodegenerative diseases as well. Fu et al. reported an elevated level of IL-6 and TNF-\u03b1 production in the sera of PD patients and the level correlates strongly with clinical symptoms. Noteworthy, activated microglia also produce IL-6 and TNF-\u03b1 under pathologic conditions is not only conventionally expressed by peripheral immune cells but also expressed by microglia exclusively in the CNS and plays an essential role in neuroinflammation . Li et aBrian et al. extensively reviewed the role of peripheral innate immune cells in AMD, highlighting the potential dysregulated crosstalk between immune cells residing in the retina and periphery. This review also discussed recent developments in single-cell transcriptomics that advance the understanding of developing therapeutic interventions for AMD targeting immune dysregulation.As a part of CNS, the retina contains resident innate immune cells (microglia) and may also be populated with innate components from the periphery under pathological conditions. Dysregulated immune responses have been linked to retinal degenerative disorders, including AMD. A recent study provides an unparalleled depth of insight into key inflammatory pathways residing in microglia that promote neuroinflammation in AMD . MoreoveIn summary, the collection of articles in this Research Topic provides a snapshot of a newly rising multidisciplinary research field deciphering neurological diseases from the immunology perspective. These articles expand our understanding of central and peripheral immune responses in neurodegenerative diseases and shed light on developing therapeutic strategies targeting novel immunological targets. However, some questions which have gained increasing interest in this field remain to be further addressed. For example, as age is a main risk factor of many neurodegenerative diseases, is age-related dysregulation of microglial and peripheral immune response causally related to the onset or progression of neurodegenerative diseases? Whether and how microglia dialogue with peripheral immune cells and how such interaction affects disease progression? More importantly, the extreme heterogeneity of immune cells greatly impedes the accurate definition of their contribution to disease progression. Identification and characterization of distinct disease-associated immune cell subsets will surely favor the discovery of novel, effective therapeutic targets. We hope that the articles in this Research Topic will be insightful to a broad range of researchers working in the immune response to neurodegenerative diseases and will enlighten future research to decipher the role and molecular mechanisms at play between central and peripheral immune cells to regulate neurodegenerative diseases in both preclinical and clinical settings."}
+{"text": "Insomnia in depression is common and difficult to resolve. Music is commonly used as a sleep aid, and clinical trials pointing to positive effects of music as a sleep aid are increasing adding to the evidence base. There is little knowledge on the effectiveness of music for depression related insomnia.A recent RCT study conducted in psychiatry at Aalborg University Hospital examined effects of a music intervention for insomnia in depression. The intervention group listened to music at bedtime for four weeks, controls were offered music intervention post-test. Primary outcome measure was Pittsburgh Sleep Quality Index (PSQI). Secondary outcomes included Actigraphy, The Hamilton depression Rating Scale (HAMD-17) and World Health Organisation well-being questionnaires .A two-armed randomized controlled trial (n=112) and a qualitative interview study (n=4)The RCT study showed signficant improvements for the music intervention group in sleep quality and quality of life at four weeks according to global PSQI scores and WHO-5 scores . Actigraphy measures showed no changes and changes in depression symptoms (HAMD-17) were not detected.The interview study unfolded examples of the influences of music on sleep and relaxation. Music distracted, affected mood and arousal positively and supported formation of sleep habits.Results from the trial are discussed and merged with findings from the interview study. The results from the trial suggested moderate effects of music listening for the population while findings from the interview study showed examples of individual and highly varying outcomes.Music is suggested as a low-cost, side-effect free and safe intervention in supplement to existing treatments improving sleep in depression.None Declared"}
+{"text": "The purpose of the study is to examine higher moment connectedness among 12 cryptocurrencies using data sampled at the 1-minute high-frequency interval. We use methods that demonstrate the heterogeneity of agents from their distinct investing horizons. This includes wavelet multiple cross-correlations, CEEMDAN-based Diebold-Yilmaz (DY) connectedness index and the Barunik-Krehlik (BK) frequency connectedness index. First, our results show that higher moment multiple correlations among the sampled cryptocurrencies are higher at all time scales and the relationship strengthens at lower frequencies. Second, the wavelet cross-correlations show different cryptocurrencies with the potential to lead and lag in the transmission of higher moment shocks to the whole system at different frequencies. Again, the multiple wavelet cross-correlations increase with increasing time scales. The results from the CEEMDAN-based DY connectedness index as well as the BK framework also reveal cyclical connectedness and differences in connectedness across different frequencies. The results show more connectedness of higher moments than the connectedness empirically reported for returns and volatility. Cryptocurrency connectedness has mostly been examined using the first two moments. We extend this line of literature by examining the third and fourth moments, which might be more useful for risk management purposes. Traditional asset pricing models like the Capital Asset Pricing Model of Sharpe and LintThe majority of the studies that have investigated the interconnectedness of cryptocurrencies have\u00a0mainly focussed on the first two moments, namely, returns and second (variance) moments quantify the location and dispersion of a distribution respectively. The third (skewness) and fourth (kurtosis) moments are used to identify the shape of a particular distribution. The skewness verifies the symmetry of distribution around the mean where a zero value implies symmetry while positive (negative) values imply asymmetry. A tendency toward positive skewness is a reflection of investors\u2019 penchant for lottery-like assets increases with scale and peaks at close to 1 at the lowest frequency. The findings from the local CEEMDAN-based DY framework reveal that the higher moment connectedness among the cryptocurrencies is cyclical, albeit aperiodical at higher frequencies and smoothens at lower frequencies. Using the CEEMDAN-based DY framework and BK framework, we also establish that higher moment connectedness is especially high at lower frequencies.The study proceeds as follows: in the next section, we look at the methodology used to examine the connectedness of cryptocurrencies, followed by a presentation of the results and the discussion thereof. The study ends with a conclusion that wraps up the study and provides potential areas for future studies.https://www.cryptodatadownload.com/data/. According to Alexander and Dakos (We include data gathered at 1-minute granularity for twelve cryptocurrencies namely Bitcoin (BTC), Binance (BNB), Cardano (ADA), Ethereum Classic (ETC), Ethereum (ETH), Chainlink (LINK), Litecoin (LTC), Neo (NEO), Tron (TRX), Stellar (XLM), XRP (XRP), Zcash (ZEC). The 1-minute data are collected from the Binance exchange and downloaded from nd Dakos , using rnd Dakos . The samThe N = 1440. The opening log price on day t is Pt,0 and the closing log price on day t is Pt,1.Where P is the price of the cryptocurrency and In line with Amaya et al. , we defiRealised daily kurtosis is defined following Amaya et al. again asThe scaling of Though our ultimate objective is to demonstrate the spillover of higher moment return shocks using the seminal spillover indexes, we first establish the multiple correlations among the cryptocurrencies using wavelets. Simultaneous inclusion of methods based on wavelets and spillover indexes provides robustness in trying to understand the connectedness among variables and this approach has been used in recent studies of Fern\u00e1ndez-Macho . In compWhere:To identify a potential leader that can influence other cryptocurrencies within a system, we utilise the Wavelet Multiple Cross-Correlation (WMCC). WMCC can be used to identify potential leaders and followers in a set of time series data. This can be particularly useful in financial and economic applications where identifying the leader-follower relationships between different assets or indicators can provide insights into portfolio management and risk assessments. By applying WMCC to a set of time series data, we can analyse the strength and direction of the cross-correlations between different time series at different frequencies or scales. By allowing lag Where:To examine the higher-order connectedness of the cryptocurrencies, we also depend on the seminal Diebold and Yilmaz spilloveThe computation procedure of the CEEMDAN is guided by Torres et al. and is iThe second step involves the deployment of the Empirical Mode Decomposition (EMD) to decompose Eq.\u00a0 to obtaiThis is followed by the computation of the remainder of the signal components The Finally, the The total number of IMFs of a time series signal including the residual is given as After decomposing the realised skewness and realised kurtosis values for all the cryptocurrencies, we then deploy the DY framework to examine the connectedness of the cryptocurrencies across time and different investing horizons (represented by the various IMFs). The DF framework utilises the generalised forecast error variance decomposition (GFEVD) in a VAR framework in place of utilising Cholesky factorisation. Using the DY (2012) framework, a covariance stationary Where The DY (2012) framework depends on the GFEVD framework which was formalised by Koop et al. and PesaWith To measure the frequency dynamics of higher moment connectedness among sampled cryptocurrencies resulting from heterogeneous frequency responses to shocks in each of the cryptocurrencies, we also use the Barun\u00edk and K\u0159ehl\u00edk \u2019s framewThe band Where generalised forecast error variance decomposition (FEVD) on different frequency bands In this section, we report the findings of the connectedness among cryptocurrencies using the different econometric models adopted. We first report the descriptive statistics displayed in Table\u00a0As shown in Fig.\u00a0The results in Fig.\u00a0The results for the two moments visualised in Fig.\u00a0Figure\u00a0In Table\u00a0The same pattern that is depicted in the descriptive statistics in Table\u00a0In further robustness checks, we report the time-frequency higher-order connectedness of the cryptocurrencies using the BK frequency connectedness framework, results which are visualised in Fig. The results in Fig.\u00a0The results from wavelet multiple correlations, the CEEMDAN-based DY framework and the BK framework unanimously point to higher moment connectedness among the sampled cryptocurrencies, with the connectedness amplified at lower frequencies. This means that there are higher chances of cryptocurrencies crashing together and also experiencing extreme returns (both positive and negative returns) together. This provides evidence of the existence of herding behaviour in the crypto markets as documented by Vidal-Tom\u00e1s et al., . The finCryptocurrency has become an important asset class in the past few years. A lot of research has been done to untangle different facets of this growing asset class. The majority of the research has however mostly concentrated on the first two moments (return and volatility) of cryptocurrencies and has left the higher moment properties of the cryptocurrencies at the peripherals. We particularly investigate the higher moment connectedness of 12 cryptocurrencies sampled at high frequency in a time-frequency domain. We apply methods robust in the presence of nonlinearities, deviation from Gaussian distributions and several stylised facts of financial variables. Our results show high moment connectedness of cryptocurrencies which is mostly amplified at lower frequencies. These results have important implications for policymakers and investors. For policymakers, the findings suggest that they need to consider the higher moment connectedness when developing regulatory frameworks for the cryptocurrency market. This may involve developing new risk management strategies that specifically target higher-moment shocks to the system, as well as improving the monitoring and surveillance of the market to better detect and respond to such shocks. For investors, the findings suggest that they need to be aware of the potential for higher moment shocks in the cryptocurrency market and should consider incorporating this information into their investment strategies. This may involve using more sophisticated risk management techniques that take into account the higher moment correlations between different cryptocurrencies, as well as carefully monitoring the leading and lagging indicators identified in the study."}
+{"text": "One of the holy grails of neuroscience is to record the activity of every neuron in the brain while an animal moves freely and performs complex behavioral tasks. While important steps forward have been taken recently in large-scale neural recording in rodent models, single neuron resolution across the entire mammalian brain remains elusive. In contrast the larval zebrafish offers great promise in this regard. Zebrafish are a vertebrate model with substantial homology to the mammalian brain, but their transparency allows whole-brain recordings of genetically-encoded fluorescent indicators at single-neuron resolution using optical microscopy techniques. Furthermore zebrafish begin to show a complex repertoire of natural behavior from an early age, including hunting small, fast-moving prey using visual cues. Until recently work to address the neural bases of these behaviors mostly relied on assays where the fish was immobilized under the microscope objective, and stimuli such as prey were presented virtually. However significant progress has recently been made in developing brain imaging techniques for zebrafish which are not immobilized. Here we discuss recent advances, focusing particularly on techniques based on light-field microscopy. We also draw attention to several important outstanding issues which remain to be addressed to increase the ecological validity of the results obtained. To fully understand how neural circuits process sensory input and generate complex behaviors it is critical to be able to record simultaneously from large numbers of neurons while the animal is behaving as naturally as possible. Larval zebrafish are transparent and, uniquely amongst vertebrate model organisms used in neuroscience, allow the potential for neural activity in all ~100,000 neurons in the brain to be optically imaged simultaneously. Zebrafish have a strong genetic and physiological homology to mammals, and they have analogous social and cognitive behavioral processes to those seen in rodents and humans . Bouts can be grouped into 7\u201313 different classes and hunting sequences (eyes converged). Eye convergence creates a small binocular zone about 0.5 mm directly in front of the fish that is likely useful for calibrating the final strike with specific selectivity and its UAS system (TrpR/tUAS), and the QF transcription factor (adopted from fungus Neurospora crassa) and its UAS system (QF/QUAS). All these systems were developed to create a binary expression system where the fluorescence reporter protein expression is regulated by cell-type specific promoters and Gal4 upstream activating sequence (gUAS) system , the tryptophan repressor (utilizing tryptophan biogenesis in nacre zebrafish (which carry mutations that affect pigment cells) are transparent at larval stages, making them ideal for volumetric optical imaging of brain activity decreases since the depth of focus is inversely proportional to NA and the overall FoV of the system is not affected. Higher NA also increases the imaging speed as the light gathering capability of the system increases deconvolution algorithm applied to LFM reconstructs the 3D volume by maximizing the Poisson likelihood of the light-field image given an estimate of the 3D volume due to their powerful non-linear fitting capacity. The PSF measurement information here is optional as long as the methods can implicitly learn the underlying physical process New developments in recent years have combined LFM with various types of illumination and conventional optical microscopy systems. These novel hybrid systems aim to improve the performance of the system by offering better spatial resolution, signal to noise ratio, and contrast. Here we focus on methods that have been applied to zebrafish.m3 over a cylindrical imaging volume of 800 \u03bcm diameter and 200 \u03bcm height. Moreover, this system eliminated the reconstruction artifacts near the focal plane presented in the conventional LFM are based on 1-photon imaging, which stimulates the fish's visual system and thus potentially interferes with the fish's ability to respond to visual stimuli such as prey items. This could be addressed by developing faster 2-photon volumetric imaging methods.Although current techniques approximate single-neuron resolution, this resolution is still significantly lower than that achieved by more conventional imaging techniques for head-fixed animals.In their natural environment zebrafish larvae make use of vertical movements through the water column, and in particular prefer to strike at prey items from below (Bolton et al., The techniques of Cong et al. and Kim All authors listed have made a substantial, direct, and intellectual contribution to the work and approved it for publication."}
+{"text": "Editorial on the Research TopicCase reports in pediatric infectious diseases 2022Case reports of patients with unusual findings have been a source of inspiration for researchers and have contributed to improved clinical practice in the past . EspeciaThe editors of this special issue feel that in general, the scientific community, and more specifically, boards of universities deciding on promotion of staff tend to undervalue the contribution that case reports make to the advancement of new knowledge and to science as such. Pioneers in medicine were great supporters of documenting each unusual presentation of patients and sharing with a wide range of physicians, the findings and outcomes of such cases .Writing a good case report is not easy though. Authors may get lost in less relevant details or present a textbook chapter in the introduction of the report, discouraging the target audience from finishing the reading of the report. A concise focused summary of literature can highlight why the particular case is so special and needs to be shared with as many doctors seeing similar patients as possible.Another problem encountered is the lack of proper documentation of proper findings to exclude alternative diagnoses or contributing factors to the outcome of the patients. In order to write a good case report, the clinician should plan ahead and get all relevant investigations properly documented, of course with the permission of the patients or their guardian.Editors of other journals have suggested that it may be a good idea to incorporate more training for physicians, not only during the undergraduate years but also in continuing medical education to ensure the skills of writing a good report are readily available in most doctors seeing a wide variety of cases.Guidelines for reporting cases reports are available in literature , even thIt has been the great pleasure of the editors of this special issue to select and compile nine very relevant case reports in paediatric infectious diseases. In 4 reports, comprehensive pathogen analysis was useful for rapid diagnosis in pediatric infectious diseases, and it is desirable to examine its utilization in this area in the future. Other reports describe rare complications or unexpected diagnoses in patients with infectious diseases.Below a concise critical review of each of the articles is presented.Huang et al. present a case of a 10-year-old immunocompetent boy presenting with a 5-day history of intermittent, left-sided chest pain, having a left lung nodule caused by Streptococcus intermedius. The nodule was identified by chest radiography. The cultures of aspirates of the nodule were negative but the germ was identified by metagenomic next-generation sequencing. He was given proper antibiotics and did not require a surgical intervention. The authors highlight the rarity of the case and the importance of metagenomic next-generation sequencing in the diagnostic process.Zhuang et al. reported a case of Congenital tuberculosis in a neonate following in vitro fertilization-embryo transfer. They performed pathogenic microorganism metagenomic analysis and isolated the Mycobacterium tuberculosis complex in a preterm infant poorly responding to treatment. Subsequently, maternal pelvic tuberculosis was confirmed. Since, in vitro fertilization (IVF) treatment and pregnancy can exacerbate latent tuberculosis, identifying maternal tuberculosis during IVF treatment using metagenomic approach can be a useful option.Rodriguez et al. reported a case of an unusual pneumonia pathogen, detected by plasma cell free next-generation sequencing in an immunocompetent adolescent with acute respiratory distress syndrome. This case details a rapid diagnosis of legionella pneumonia causing severe acute respiratory distress syndrome (ARDS) in an otherwise healthy adolescent through plasma microbial cell-free DNA next generation sequencing (mcfDNA-NGS). Diagnosis by mcfDNA-NGS of this unexpected pathogen led to narrowing of antimicrobials and this novel technology can be a useful tool for paediatric infectious disease diagnosis.Liao et al. reported a case of Respiratory tract infection of fatal severe human bocavirus 1 in a 13-month-old child. They reported the case of a 13-month-old boy who presented with a cough, shortness of breath, and wheezing, and who eventually died of severe pneumonia and acute respiratory distress syndrome (ARDS). They confirmed that HBoV1 was the only detected pathogen by Metagenomics next-generation sequencing (mNGS).Zhang and Yu reported a rare case of severe and fulminant paediatric Mycoplasma pneumoniae in an immuno-competent child. There were severe lung lesions associated with pleural effusion, coagulopathy, diffuse alveolar haemorrhage and severe respiratory distress, requiring ventilator and intravenous extracorporeal membrane oxygenation (VV-ECMO) support. The authors want to highlight that early recognition and prompt institution of advanced life support measures the treatment can be successful.Zhang et al. reported another rare complication of Mycoplasma pneumoniae: multiple cardiac thrombi and pulmonary embolism. They successfully treated the case with thrombolytic and anticoagulant therapy. While other thromboembolic complications of Mycoplasma pneumoniae have been reported, this may be the first report of cardiac thrombi as a complication of infection by this organism.Han et al. reported a case of pleural empyema and necrotizing pneumonia related to methicillin resistant Staphylococcus aureus (MRSA) secondary infection in a teenager who initially presented with Influenza A virus infection. They describe the clinical symptoms and treatment and they highlight the importance of early recognition and application of thoracoscopy for this potentially fatal pleural empyema caused by MRSA and influenza A co-infection. The authors hope that this article will raise awareness regarding rarely occurring severe respiratory infections by MRSA in a child with normal immune function after influenza A virus infection.Feussner et al. reported a lethal case of mastoiditis and cerebral herniation as a complication of otitis media in a 13 year old patient with Arnold Chiari Malformation. This case demonstrates a very rare lethal complication of acute otitis media on the basis of a cerebral malformation and emphasizes the need to stay alert when patients complain of symptoms after assumed resolution.Chang et al. reported an adolescent immune-compromised patient with histoplasmosis, coming from a non-endemic area. The patient presented with nonspecific symptoms and was successfully treated with amphotericin B and itraconazole. The authors encourage a high index of suspicion for this pathogen in immune-compromised patients, even in non-endemic areas.In conclusion, the cases reported in this issue are likely to contribute to a better clinical practice and it is hoped that they are a source of inspiration for clinicians to keep sharing their special cases in excellent case reports."}
+{"text": "At the dawn of this millennium, the Human Genome Project (HGP) prospected the most detailed description of the genetic and epigenetic regulatory pathways . HoweverSuch milestones have proven to be catalytic in advancing the technological barriers. An exciting example could be the invention of molecular 3D structure prediction methods like, AlphaFold and RoseScientific milestones usually result in attracting research groups who would design their work-plan around that exciting discovery. Although quite natural, it often leads to a very pertinent question that does the designed project consider the complex nature of biological systems by assessing the inherent flexibility of the molecular system being studied. The aforementioned examples demonstrate the caveats of neglecting the inherent flexibility of the genomes and proteomes. This flexibility makes the biological systems complex to study and understand. Therefore, it is important that we assert a similar flexibility in our approaches to broaden our understanding of life.Chandra et al. investigated the disordered region of the antitoxin from the toxin-antitoxin (TA) pair in the pathogen M. tuberculosis. This bacterium has nine MazEF family toxin-antitoxin systems, which have a significant impact on the persistence and survival of Mycobacterium tuberculosis within their host. Using charged residue (Asp) scanning mutagenesis at the intrinsically disordered regions, they showed a TA interaction module unique to MazEF6 system. They established that N-terminus of the antitoxin (MazE) that is usually expected to be involved in DNA binding could bind to the toxin (MazF) instead. These counter-expected results highlight that structure prediction built on evolution may not work for predicting correct binding mode in MazEF6 TA pair. Thus, pointing out the specificity of individual antitoxins towards their partner toxins that is likely to provide selective evolutionary advantage to the organism.This Research Topic was therefore aimed at compiling original research that could impart flexibility to our understanding of complex biomolecular systems. For example, two groups studied protein disorders in two very different systems and concluded the role of inherent flexibility towards their adaptive advantage. Chauhan and Sowdhamini performed an in-depth analysis of LIM domains of the Cysteine and Glycine-rich Protein 3 (CSRP3), a key protein implicated in dilated and hypertrophic cardiomyopathies. CSRP3 is structurally characterized by two LIM domains (each containing two Zinc fingers) connected by a disordered region. Zinc fingers are well characterised as DNA binding domains and are highly conserved. However, comparing sequences of LIM domain across the tree of life, authors observe a trimodal distribution for their length variations which they attributed to the varying length of the disordered linker. Using MD simulation experiments, they have asserted the role of the disordered region in facilitating the LIM domain interactions which can vary among different species. An interesting finding from the phylogeny of CSRP3 was the identification of a homolog in freshwater microspecies which are not known to have a circulatory network, thus, scratching a curious gateway into the origins of CSRP3 gene.Yu et al.) are interested in understanding the function of X-derived retrogenes that are known to contribute towards genetic diversity during evolution. These genes are usually expressed in the testes and perform important functions during spermatogenesis. Phylogenetic analysis showed that a retrogene and an X-linked maintenance gene are subject to purifying selection and hence may have evolutionarily conserved functions. However, they have no functional role in spermatogenesis as shown by mice experiments. This study has provided direct evidence that some autosomal X-derived retrogenes may be non-functional in spermatogenesis, thus, challenging our understanding that flexibility imparts adaptive advantage.Yu and collaborators establishes two important biomarkers, the C-reactive protein (CRP) and D-dimer in 228 Bangladeshi COVID-19 patients. They observed a significant association between the severity of COVID-19 and the two biomarkers within the population. Such studies are aimed at making the diagnostics precise by considering ethnic populations and their varied immune responses against a disease.Finally, a brief research report by Sultana and collaborators (Overall, this research topic explores the role of flexibility by studying various systems that range from retrogenes to multi-protein complexes to disordered systems while providing insight into each system and their selective advantage imparted by their inherent flexibility."}
+{"text": "The role of the basal ganglia in somatosensory-motor interactions: evidence from neurophysiology and behavior II,\u201d seven articles have been published. All seven contributions consisted of original work. Interestingly, each article used a unique approach to invasive micro-electrode recordings . This heterogeneity of approaches is in line with the approaches described in its predecessor in the thalamus , could have made use of the currently available fully-implantable devices that have also been able to record LFP activity in the thalamus . Although 3 years seems a short period, as we know after the pandemic, a lot can happen. One important development in studying the basal ganglia over the last 3 years is the availability of commercially available DBS devices by at least three companies that can record local field potentials (LFP's) from fully implanted devices and Pinky et al. studied the role of the caudate as modulator in the recovery of TBI. These insights show how studying basal-ganglia functions beyond movement disorders can help in developing neuro-modulation strategies and the development of (image-based) biomarkers. The development of biomarkers is also relevant for the prodromal stages of Parkinson's disease (PD) such as in patients with rapid eye movement sleep behavior disorder (RBD), which are at a higher risk for developing PD. By identifying these patients using advanced imaging approaches, such as described by Chen et al., patients may benefit in the future from disease- modifying therapies before the onset of motor symptoms pain syndromes and traumatic brain injury (TBI) as respectively described by Sengupta et al. show the nature of response disinhibition in PD during natural movement performance whilst were able to distinguish neural patterns of self-initiated vs externally cued response in the STN. With the dawn of DBS stimulation paradigms that influence decision making processes processing actually leads to disturbed basal-ganglia function. In their contribution All authors contributed to the editorial and have seen all revisions, including the final revision."}
+{"text": "Gastrointestinal (GI) cancers are malignancies that develop within the digestive system and account for one in four cancer cases according to WHO data . EsophagThe application of liquid biopsy in these types of cancers and more specifically in colorectal cancer (CRC) and gastro-esophageal cancer is the focus of this Special Issue. Four original articles on the use of EVs and cell-free DNA (cfDNA)\u2014including diagnostic plasma variants as predictive markers of these tumors and one review on the use of circulating tumor DNA (ctDNA) in the assessment of minimal residual disease (MRD) in CRC\u2014are included. The technical aspects and challenges behind the clinical application of liquid biopsy are especially underlined. The detection of disseminated and residual disease before and after surgical resection, respectively, are important clinical issues faced by surgeons and medical oncologists treating digestive tumors. The term MRD is used to describe the very few cancer cells which remain in the patient\u2019s body during or after cancer treatment, which are below detectable levels after oncological treatment using routine laboratory methods . MRD wasThe study of Wallander et al. describeOn a more technical note, Kalm\u00e1r et al. , describIn CRC patients, metastasis prediction is also a major issue as many patients progress after treatment for localized disease . The stuPatient stratification via the detection of MRD after a curative-intent resection has been a challenge in CRC over the last years . In thisThe research study of Hofste et al. is focused on patients with locally advanced esophageal cancer and represents a well-designed and executed study for the use of ctDNA detection to predict residual disease during treatment . EsophagLiquid biopsy has emerged in clinical oncology as an important tool for patient management, and is on the verge of being implemented into the clinical practice , as the The prognosis of CRC has improved significantly in recent years due to liquid biopsy-based early detection strategies, such as the fecal occult blood test or fecal immunochemical test ,22. Howe"}
+{"text": "A patient presented to clinic with atopic dermatitis that had been previously unresponsive to multiple topical and systemic therapies. They were successfully treated with a combination of tralokinumab and upadacitinib, showing significant improvement after 3 weeks and near-resolution after 6 months. We present a case of atopic dermatitis treated successfully with a combination of tralokinumab and upadacitinib.Biologic therapies and Janus kinase inhibitors have both been successfully used in the management of patients with atopic dermatitis.A 42-year-old male patient with atopic dermatitis (AD) had attempted multiple systemic therapies , topicalThe multifaceted pathophysiology of AD makes combination therapy an intriguing avenue in the management of the condition. The efficacy and tolerability seen in our patient, along with the lack of response to multiple previous monotherapies, encourages the possibility of treating unresponsive AD with biologic therapies and JAK inhibitors simultaneously."}
+{"text": "Sickle cell disease is a common condition in the eastern part of India and can often present with pain crisis, vasculo-occlusive crisis and anemia. These patients seldom have coexisting rheumatological illnesses like rheumatoid arthritis that are camouflaged with the pain crisis of sickle cell disease, leading to a delay in the diagnosis and a delay in initiating the treatment which leads to a poorer quality of life. Herein we discuss a case of sickle cell disease presenting concomitantly with the features of rheumatoid arthritis and the challenges faced in the diagnosis and treatment. Sickle cell disease is caused by a point mutation in the beta-globin gene leading to the replacement of glutamic acid to valine in the sixth position of the beta chain of hemoglobin. Rheumatoid arthritis is an autoimmune chronic inflammatory disease that often presents with early morning stiffness and symmetrical small joint pains. Patients with rheumatoid arthritis may have cartilage and bone destruction that leads to permanent disability and reduced quality of life. The joint pains in rheumatoid arthritis are sometimes masked by the pain crisis of sickle cell disease which leads to a diagnostic dilemma. Besides, there is a contrast in the treatment of rheumatoid arthritis and sickle cell disease that also leads to a treatment dilemma .A 36-year-old female patient presented to us with multiple joint pains and weakness for a duration of seven days. The patient had a confirmed history of sickle cell disease spanning over the course of 11 years. On this occasion, the patient presented with complaints similar to those experienced in the past. Previous episodes had been managed by administering analgesics to alleviate the pain crisis. Upon further inquiry into her symptoms, she disclosed a medical history involving stiffness during the early morning hours and symmetrically distributed joint pain affecting the small joints of her hands. On general examination, her vitals were stable. She had tender and swollen proximal interphalangeal joints and metacarpophalangeal joints in both hands. She also had boutonniere deformity which was quite evident on examination and C-reactive protein (CRP). Her anti-cyclic citrullinated peptide, antinuclear antibodies and human leukocyte antigen B27 (HLA-B27) were negative. Her hemoglobin levels were 6.4 gm% which was microcytic hypochromic type. Her Disease Activity Score (DAS-28) was 5.1. She was transfused three units of packed red blood cells (RBC). She was treated with a short course of non-steroidal anti-inflammatory drugs (NSAIDs), methotrexate and hydroxychloroquine sulphate and showed improvement in her pains in about seven days and was discharged. She is being followed up regularly to monitor her blood picture and to titrate the dose of disease-modifying antirheumatic drugs (DMARDs).The diagnosis of rheumatoid arthritis in a patient with sickle cell disease poses a challenge due to the similarities in their presentation. Rheumatoid arthritis is a chronic inflammatory disease that is characterised by cartilage damage, synovitis and juxta-articular bone destruction . HemogloOnce the diagnostic dilemma is overcome, the next barrier a clinician faces is the treatment dilemma. The use of steroids in rheumatoid arthritis is for transient pain relief before the action of DMARDs sets in. However, steroids if used in rheumatoid arthritis with sickle cell disease can lead to vasculo-occlusive crisis and bone infarcts. Hydroxyurea can reduce the white blood cell and reticulocyte counts and can lead to opportunistic infections . The useThe musculoskeletal features of sickle cell disease can mask the clinical features of rheumatoid arthritis, leading to diagnostic challenges and once diagnosed can present with challenges in the treatment. Steroids if used in rheumatoid arthritis with sickle cell disease should be used with caution. Regular monitoring of the hemoglobin, platelets, liver and renal function is required with using DMARDs in rheumatoid arthritis and sickle cell disease. The diagnosis of rheumatoid arthritis is rarely considered and overlooked because of the musculoskeletal symptoms of sickle cell crises. Underlying inflammatory mechanisms of both sickle cell disease and rheumatoid arthritis may mask the clinical manifestation of each. Prompt use of DMARDs improves the quality of life and prevents further damage.\u00a0Long-term research to study the quality of life and clinical course is needed in detection of rheumatoid arthritis in sickle cell disease."}
+{"text": "Some researchers hypothesize that PTLDS might be related to a persistent but difficult to detect infection. The authors wish to improve the clarity of a statement in the background section of the summary. The updated background section is presented below:SummaryBackground Post-treatment Lyme disease syndrome (PTLDS) is used to describe Lyme disease patients who have completed antibiotic therapy but then experience persisting symptoms of pain, fatigue, or cognitive impairment."}
+{"text": "Digital tools may improve chronic obstructive pulmonary disease (COPD) management, but further evidence of significant, persisting benefits are required. The RECEIVER trial was devised to evaluate the Lenus COPD support service by determining if people with severe COPD would continue to utilize the co-designed patient web application throughout study follow-up and to explore the impact of this digital service on clinical outcomes with its adoption alongside routine care.The prospective observational cohort hybrid implementation-effectiveness study began in September 2019 and included 83 participants. Recruitment stopped in March 2020 due to COVID-19, but follow-up continued as planned. A contemporary matched control cohort was identified to compare participant clinical outcomes with and minimize biases associated with wider COVID-19 impacts. Utilization was determined by daily COPD assessment test (CAT) completion through the application. Survival metrics and post-index date changes in annual hospitalizations were compared between the RECEIVER and control cohorts. Longitudinal quality of life and symptom burden data and community-managed exacerbation events were also captured through the application.High and sustained application utilization was noted across the RECEIVER cohort with a mean follow-up of 78 weeks (64/83 participants completed at least one CAT entry on \u226550% of possible follow-up weeks). Subgroup analysis of participants resident in more socioeconomically deprived postcode areas revealed equivalent utilization. Median time to death or a COPD or respiratory-related admission was higher in the RECEIVER cohort compared to control (335 days vs 155 days). Mean reduction in annual occupied bed days was 8.12 days vs 3.38 days in the control cohort. Quality of life and symptom burden remained stable despite the progressive nature of COPD.The sustained utilization of the co-designed patient application and improvements in participant outcomes observed in the RECEIVER trial support scale-up implementation with continued evaluation of this digital service. COPD accounts for many hospital admissions and deaths and is expensive to manage.Digital tools could improve COPD management but more evidence is needed that people with COPD continue to use them and that they have a positive impact on clinical outcomes.The goal of this study was to record usage of a digital COPD self-management and remote monitoring service by people with severe COPD over a long-term period, and to explore the impact of introducing this service on participant\u2019s outcomes.Why was this Study Done?The majority of trial participants frequently used the service across the time period that they were in the study (12\u201324 months).Those registered with the service had a greater reduction in hospital admissions related to their COPD than a comparator cohort with severe COPD over the same period.Participants reported consistent quality of life across the study, despite COPD being a progressive disease.What Did the Researchers Do/Find?People with severe COPD continue to use the service regularly.Adoption of the service was associated with improved clinical outcomes.What Do these Results Mean?Chronic obstructive pulmonary disease (COPD) is a leading cause of global mortality, morbidity, and disability,7Interventions that support self-management of COPD have been shown to reduce length and frequency of hospital admissions,21In parallel, emerging innovations such as smart inhalers, remotely monitored home non-invasive ventilation (NIV) machines, wearable physiology monitors, and predictive AI-models offer potential COPD care-quality improvements. The projected benefits are based on these digitally enabled tools providing actionable insight to clinical care teams in real-time outside of traditional care settings.25https://support.nhscopd.scot.Given the above context, a digital health technology catalyst project was commenced to further the evidence base for digital self-management and remote monitoring interventions in the management of COPD, and to establish a test-bed infrastructure for additional innovations. To address these aims, a patient and clinician co-designed COPD digital support service (Lenus COPD) was developed and evaluated. This digital COPD support service consists of a patient application, a clinician application/dashboard, and a support website. Additional information on the digital service is available at: The RECEIVER trial was commenced in September 2019 in NHS Greater Glasgow and Clyde (NHS GG&C). The aim of the trial was to determine the acceptability, feasibility, and utility of deploying the co-developed COPD digital service alongside routine clinical care for people with severe COPD. An implementation-effectiveness observational cohort design was applied to facilitate adaptations to the intervention and the implementation strategy if required. The primary objective of the study was to determine service utilization by people with severe COPD, with additional clinical and non-clinical secondary objectives outlined in the published protocol.At the first UK COVID-19 lockdown (March 2020), recruitment for the trial was stopped. However, based on positive interim evaluations, follow-up of the 83 already recruited participants was continued. Based on these same evaluations, provision of the COPD digital service was scaled up to a wider cohort of vulnerable people with COPD resident in NHS GG&C outside of the trial, to mitigate care disruptions for these individuals. The service evaluation analyses from this cohort will be reported separately. Additionally, a location and time-period matched control cohort with severe COPD was identified from an approved de-identified dataset from the NHS GG&C Safe Haven.Having reached the follow-up censor date for the RECEIVER trial, the primary and core secondary outcomes of the study can now be reported on. These include measures evaluating patient application usage, clinical outcome measures compared to the matched control cohort, characterization of trends in quality of life and symptom burden following service onboarding, and determining community-managed exacerbation count amongst the participants. Results from exploratory analysis to identify potential factors determining utilization and analysis to establish the extent of utilization amongst a subpopulation of participants resident in more deprived postcode areas are also reported on.The RECEIVER trial is a prospective observational cohort hybrid implementation-effectiveness study, performed according to the UK Policy Framework for Health and Social Care Research.26People with COPD attending secondary care in NHS GG&C were screened for eligibility to be included in the RECEIVER cohort.At least 18 years of age at onboardingConfirmed diagnosis of COPD (GOLD 2019 criteria)A COPD exacerbation requiring hospitalization in the previous 12 months and/or chronic hypercapnic respiratory failure or sleep-disordered breathing meeting established criteria for home NIV/continuous positive airway pressure (CPAP) treatmentDaily access to a smartphone, tablet, or desktop computer with internet access either personally or through a close contactRECEIVER cohort inclusion criteria:Lack of capacity to give informed consent or having a communication barrier precluding the use of the serviceRECEIVER cohort exclusion criteria:A patient web application accessible via smartphone, tablet, or computer where patient-reported outcomes (PROs) can be entered, and standardized self-management advice can be accessedA clinician dashboard where structured data from electronic health records (EHRs), PROs, wearables, and home NIV machines are displayedAn asynchronous messaging facility accessible via the patient application and clinician dashboard which facilitates out of hospital, non-urgent patient-clinician contactA support website providing further self-management resourcesThe service consists of:Screen capture views of the intervention components are shown in Supplementary Methods.The clinician dashboard was utilized to maximize information available and support clinician decision-making following participant-initiated contact through the messaging service or during routine clinical contact . Participants were made aware that their symptom data would not be routinely reviewed or monitored outside of this context and that they should seek medical advice through usual care channels if they felt unwell. Further details of the intervention components and how they were used, as well as details on data processing and data storage are available in the Semi-structured interviews with people living with COPD in NHS GG&C were undertaken as part of the design of the Lenus COPD digital tools to understand the experience of people living with COPD and to allow for iterative co-design of the COPD digital service. The digital service and the RECEIVER study design were informed by these interactions, alongside published data on the priorities of people with COPD.Study follow-up took place from the 3rd of September 2019 to the 31st of August 2021. Recruitment ceased for the RECEIVER cohort in March 2020 due to UK COVID-19 restrictions. PRO data was collected via the patient application, and baseline demographic and physiology data were obtained from EHRs, with all data aggregated into the clinician dashboard. Where available, summary home NIV (ResMed Lumis 150 ST-A) and wearable data (Fitbit Charge 3) were also included in the clinician dashboard. However, analysis of this physiology and therapy data is outside of the scope of this paper.The control cohort was established from a linked and deidentified dataset produced by the NHS GG&C Safe HavenHad a COPD or respiratory-related admission in the seven-days up to the onboarding date of the RECEIVER participantAlive at the onboarding date of the RECEIVER participantSame sex as the RECEIVER participantNot already matched to another RECEIVER participantNot a user of the intervention These matching criteria were as follows:Due to data availability and constraints within the Safe Haven deidentified dataset, it was not possible for additional disease-related criteria to be matched for . Each RECEIVER participant was matched with five controls to mitigate any biases resulting from the lack of complete data for the control cohort. Alternative time windows of up to 12 months for the preceding COPD/respiratory-related admission for control subjects were considered. As this would have potentially introduced additional biases , and as evaluation would combine 12-month pre-post index event and survival data, a 7-day window was considered to be most appropriate.The primary outcome measure for the trial was the proportion of trial participants utilizing the patient application as determined by completion of daily COPD assessment test (CAT)Supplementary Methods. Supplementary Table 1 details the outcomes that are reported in this paper, as well as the data that were collected throughout the RECEIVER trial that are not included in the analyses presented in this paper but will be reported on subsequently.Clinical secondary outcomes were directly compared between the RECEIVER and control cohorts with the index date for both the RECEIVER participants and their matched controls set as the RECEIVER participant\u2019s onboarding date. Survival metrics and changes in annual COPD or respiratory-related admissions and occupied bed days were compared between the cohorts. Other secondary outcomes included analysis of changes in health-related quality of life Utilization at each timepoint was calculated from the participants who were alive and onboarded at that time. Survival analyses were conducted comparing time to admission, death, and admission or death between the RECEIVER, and control cohorts using Kaplan\u2013Meier survival analysis with a Log rank test. Survival between cohorts was compared with median time to event metrics and unadjusted hazard ratios. Wilcoxon signed-rank test effect sizes were used to compare the change in annual admission and occupied bed day (OBD) counts between the cohorts. Kruskal\u2013Wallis tests and chi-squared tests were used as appropriate to explore differences in baseline characteristics and admission events over the first year of follow-up between groups of participants with different levels of application utilization. All statistical analyses were performed using R version 4.0.5.The RECEIVER participant flow diagram details the recruitment strategies for the trial participants . The conRECEIVER participant and control cohort characteristics are summarized in Supplementary Table 2).Around 58% of the RECEIVER and 63% of the control cohort were resident in postcodes in the most socioeconomically deprived quintile of the Scottish Index of Multiple Deprivation (SIMD),Supplementary Figure 1).The percentage of participants completing at least one CAT entry per week was \u2265 68.1% each week over the first year of follow-up (mean weekly completion 79.8%), with consistent usage noted beyond this . Around Supplementary Tables 3 and 4).Analysis characterizing utilization in more depth was also conducted by stratifying the cohort into four quartiles based on the mean number of entries completed in the previous seven days at each possible point over the first year of follow-up (seven-day rolling average completion) and conducting stratified analyses. A heatmap visualization displaying CAT completion over the first year of follow-up with the trial participants grouped into these quartiles is shown in Median time to first COPD or respiratory-related admission or death was increased in the RECEIVER cohort compared to the control cohort (335 days vs 155 days) . The difSupplementary Table 5).The effect size of the reduction in annual COPD or respiratory-related admissions and occuHealth-related quality of life and symptom burden data were obtained throughout the study period through the once four-weekly EQ-5D-visual analogue scale (EQ-VAS) and the once daily COPD assessment test (CAT) entries, respectively. Changes in the distribution of reported values for these metrics over four equal time windows in the trial relative to onboarding were investigated. Health-related quality of life and sympSupplementary Figure 2).RECEIVER participants reported a median of 2 community-managed exacerbations per year in the 12-months post-index . A higheThe objectives of this study were to determine the acceptability, feasibility, and utility of deploying the co-developed COPD digital service alongside routine clinical care for people with severe COPD, as well as to further develop the evidence base for digital self-management and remote monitoring interventions in the management of COPD. Focus was placed on determining service utilization over a prolonged period, and evaluating the impact of service adoption on clinical outcomes. Sustained and high levels of interaction with the patient application were illustrated in the trial, including in participants resident in postcode areas in the most socioeconomically deprived quintile of the SIMD. Improved survival metrics and admission reductions were also noted amongst the participants in comparison to a location and time-period matched control cohort with a comparable admissions profile in the year prior to study index date, as well as an equivalent age and sex distribution. These outcomes were obtained with a median of 2 community-managed exacerbations recorded per participant per year, and broadly stable quality of life and disease impact metrics recorded across the study follow-up period, despite the progressive nature of COPD.Some major strengths of the study were the detailed characterization of patient application usage and incorporating study follow-up beyond one year. It was very encouraging that most participants continued to complete at least one CAT entry per week across follow-up and that even participants with interrupted usage generally resumed interactions at a later point. The average completion of four CAT entries per participant per week throughout the study period was also very encouraging, with a notable proportion of participants sustaining daily usage. Within the RECEIVER trial, participant symptom data was reviewed only on an as required basis . This detailed symptom trend and insight data were available to enrich these reviews, reducing patient-clinician time spent on information gathering, without increasing clinical team workload by mandating regular reviews of the PRO data. It will be valuable to explore in subsequent service evaluations which components of the digital service are most useful to patients and clinicians in different scenarios.In addition to providing the clinical team with granular data for clinical decision support, this data will be highly valuable for ongoing machine learning analysis to generate predictive models that could potentially improve COPD management further. Exploratory analysis to determine if any demographic factors, factors related to disease severity, comorbidities, additional therapies or admission rate over follow-up were associated with utilization, did not identify any significant differences in these metrics between participants with different application utilization frequencies. The difficulty in identifying discrete characteristics associated with utilization of digital interventions has been widely reported elsewhere.Out of a potential 283 RECEIVER participants, only 41 lacked technology access. This was lower than anticipated and is an improvement when compared to previous reports.37Supplementary Material for a breakdown of the RECEIVER and control cohorts by SIMD quintile).COPD prevalence is disproportionately high in more deprived communities and deprivation is independently associated with increased risk of COPD hospitalization and mortality.The improvements in survival metrics and admission reductions compared to the control cohort provide reassurance about the safety of digital co-management of COPD, when it is co-designed and deployed as part of transformation of routine care. Analysis of qualitative data on the patient-perceived benefits of the COPD digital service is in progress, and this should provide insight into the potential mechanisms by which the benefits observed here have been realized. It is our anticipation that the digital tools help support guideline-based care including COPD self-management. The improved participant outcomes seen in the RECEIVER cohort compared to the control cohort are in line with those seen in participants who were successfully taught self-management in a previous trial undertaken in our organization, supporting this view.39Interpretation of these clinical outcomes should be measured: this was an observational study with risk of multiple biases which can only be partly mitigated by the use of a location and time-period matched routine clinical dataset derived control cohort. It is notable that reduced hospital admission rates were seen in the control cohort in the year following study index. This effect has been widely reported over the period overlapping with COVID-19 restrictions and is attributed to a reduction in community transmission of respiratory infections that can trigger COPD exacerbations.With all of this noted, the observed improved outcomes amongst RECEIVER participants are encouraging both at an individual and population level. In addition to improving outcomes for people with COPD, the observed reductions in COPD or respiratory-related occupied bed days observed amongst the RECEIVER participants could have wider benefits to health-care systems, such as cost savings resulting from avoided hospitalizations and alleviating strains on hospital capacity. Additionally, reductions in admissions reduce the environmental impact of COPD management per individual per year, with hospital admissions accounting for a considerable proportion of NHS emissions.41The findings in the study are consistent with several previous studies on telehealth, remote-monitoring, and supported self-management-based COPD digital services that showed improved clinical outcomes.Supplementary Figure 3). Some of the next steps include analysis of patient application utilization and clinical outcomes amongst the individuals who were onboarded as part of the COVID response, as well as analysis of RECEIVER participant physiology and therapy data from wearables and home NIV machines. Implementation of AI-based actionable insights is in development, with ongoing work to operationalize machine-learning models trained and validated using data collected during the RECEIVER trial and Safe Haven data.Based on these evaluations, scale up of the digital support service to other health boards has progressed and some of the key results of the trial have been summarized in a plain language flyer to encourage additional individuals with COPD within the NHS GG&C health board to sign up to the support service (The primary objective of the RECEIVER trial has been successfully delivered, with sustained participant usage of the co-designed digital service confirmed. An improvement in clinical outcomes in the trial participants compared to a matched control cohort derived from routine clinical data was also observed. Based on these positive findings, scale up of service provision to support end-end proactive and preventative COPD care is in progress. The rich user experience and structured datasets collated in the RECEIVER trial will support the development and deployment of future digital innovations, including the use of AI derived insights, to further enhance care and continue the drive to improve outcomes for people living with COPD."}
+{"text": "This article provides an overview of the principles and techniques of oncoplastic and reconstructive breast surgery for patients with early-stage breast cancer. Oncoplastic breast surgery (OPBS) with partial breast reconstruction is a natural evolution in the application of breast conserving surgery and permits wide surgical resection of tumours that might otherwise mandate mastectomy and whole breast reconstruction. These reconstructive techniques must be optimally selected and integrated with ablative breast surgery together with non-surgical treatments such as radiotherapy and chemotherapy that may be variably sequenced with each other. A multidisciplinary approach with shared decision-making is essential to ensure optimal clinical and patient-reported outcomes that address oncological, aesthetic, functional and psychosocial domains. Future practice of OPBS must incorporate routine audit and comprehensive evaluation of outcomes. Breast cancer remains the most common malignancy worldwide with recent lifetime estimates of 1 in 7 in the United Kingdom (UK) . Within Those countries that historically had moderate or low rates of breast cancer based on income levels are now experiencing rapid rate increases with an inexorable rise in the incidence of breast cancer in China and India and a doubling of rates in Japan over the past 50 years. The high incidence rates in Western industrial nations have been attributed to lifestyle factors that now have relevance to increasing rates amongst emerging economies. These include changes in reproductive behaviour, altered dietary habits with increased consumption of polyunsaturated fats and alcohol together with a more sedentary lifestyle and physical inactivity \u201310. ThesMortality rates for breast cancer have fallen over the past 30 years despite a continued rise in incidence. This testifies to the success of interventional strategies such as screening and adjuvant systemic therapies that permit diagnosis of breast cancer prior to formation of micrometastatic disease or obliteration of established foci of disease at distant sites. Survival rates at 10 years for breast cancer in the UK are currently 80.4% compared with approximately 55% in the final quarter of the last century . Survivaen bloc the breast, pectoral musculature, and the axillary lymph nodes (up to level III). This operation was rapidly implemented as routine surgical practice for breast cancer patients in the first half of the twentieth century irrespective of clinical features (assuming the tumour was operable). A fundamental concept of this so-called Halstedian paradigm was that maximal efforts at local control would prolong survival; breast cancer was considered to originate as a localised disease, and it was surmised that cure rates could be improved by a more meticulous and comprehensive surgical approach. Local recurrence was considered to be the cause of distant metastases and the aim was to minimise rates of local relapse. Halsted observed that many patients developed local recurrence before they succumbed from distant metastatic disease. His operation of radical mastectomy reduced rates of local recurrence from 60% to 6% but had no impact on overall survival \u2013 so this mutilating operation did not provide patients with any additional years of life. There was a problem with the existing paradigm; hence an alternative hypothesis was proposed by the eminent surgeon Bernard Fisher (1918-2019) whose brother Edward (\u2018Ed\u201d) was a pathologist. This paradigm was known as biological pre-determinism and contended that breast cancer is a local manifestation of a systemic disease with complex interactions between the host, the primary tumour and distant micrometastases lymph nodes. It followed that surgery could only achieve local control of disease and some form of systemic treatment was necessary to improve overall survival published the first formal description of an operation for breast cancer based on a series of patients treated at the Johns Hopkins Hospital in Baltimore, USA . He post52-1922 pher 1918-19 whose survival by Bernasurvival . Hence psurvival . Nonethesurvival .Halstedian paradigm and more aggressive tumours (triple negative and HER2 positive cancers) disseminating early on \u2013 consistent with the Fisherian paradigm behaving according to the paradigm . MoleculThe modified radical mastectomy removed breast and axillary tissue in continuity but preserved the pectoralis major muscle and much reduced the morbidity of the traditional radical operation. This operation was championed by David Patey of the Middlesex Hospital in London but was never widely adopted outside the UK . With thAxillary surgery is an integral component of breast cancer surgery and has undergone a revolutionary change with progressive de-escalation of nodal resection. The operations of both radical and modified radical mastectomy implied concomitant axillary lymph node dissection (ALND). However, with the advent of sentinel lymph node (SLN) biopsy, formal ALND is now much less commonly performed (as either a primary or a secondary procedure); a notable change has been omission of completion ALND in selected sentinel node positive cases with reliance on adjuvant non-surgical treatment modalities for eradication of low burden axillary disease in non-sentinel lymph nodes . The majThe development of oncoplastic surgery and partial breast reconstruction is a natural evolution in the application of BCS to management of breast cancer. Most patients who are considered eligible for BCS have a favourable tumour to breast size ratio and are suitable for conventional forms of wide local excision with local glandular readjustment but no formal remodelling of the breast. Even when re-excision of margins is required (in up to one-quarter of cases), an optimal cosmetic outcome should be attainable in the long term after irradiation of the breast. There is a \u2018grey area\u2019 where the limits of BCS are being approached and the patient may be better served with a skin/nipple-sparing mastectomy and immediate breast reconstruction at the outset. It becomes progressively more difficult to achieve a good cosmetic outcome as the proportion of breast tissue removed increases. When more than 10%-20% of breast tissue is removed, there is a risk of an unsatisfactory result, but relatively modest losses of 5%-10% of breast volume from tumours in cosmetically sensitive areas can adversely affect cosmesis . OncoplaThe \u2018coming of age\u2019 of OPBS has alloA patient\u2019s expectations of the final cosmetic result will be determined by any relevant prior knowledge and influenced by information derived from family, friends, other patients, the media and increasingly the internet. Any misperceptions must be corrected, and fully informed consent obtained before proceeding with any form of breast reconstruction. Levels of patient satisfaction are often more related to adequate information and a robust shared decision-making process than an aesthetically pleasing cosmetic result.There must be alignment between the aims of the surgeon and the patient \u2013 the latter takes comfort and reassurance from a surgeon\u2019s knowledge and skills. Establishment of a good rapport will encourage shared decision-making and lead to optimal outcomes. Patients must be given sufficient time to assimilate all information and reach a decision that feels right for them; sometimes they will change their mind, and this must be accommodated. Surgeon preference should not dominate discussions and patients should be offered a full repertoire of reconstructive options and not compelled to accept a reconstructive option that is especially favoured by her surgeon (for whatever reason). Surveys have revealed that patients who chose reconstruction are motivated by body image rather than reasons relating to sexuality or femininity . By contIncreasingly breast units around the world are employing specialist breast care nurses as well as dedicated breast reconstruction nurses. These individuals exercise a valuable role in clarifying and processing information for patients. They can sometimes help frame relevant questions ahead of any consultation with the surgeon and this will facilitate shared decision-making. Introduction of separate oncoplastic multidisciplinary team meetings combines the expertise of breast surgeons, plastic surgeons, radiologists, and medical/radiation oncologists. It is important that these potentially problematic OPBS cases are discussed jointly between breast surgeons, plastic surgeons and oncologists to determine optimal management. Treatments are increasingly tailored to individual patients and based on tumor phenotype. Most triple negative and HER2 positive tumors >2cm will be managed with primary chemotherapy and in the latter case anti-HER2 therapy. Complete pathological response rates often exceed 50% and concentric shrinkage of tumors will facilitate subsequent surgery with breast conservation being an option instead of mastectomy (with or without whole breast reconstruction). Individual cases can be discussed in depth with access to clinical notes, radiological images and medical photography. Oncoplastic multidisciplinary team meetings are being widely adopted and used to aid in surgical decision making and providing options for patients. These meetings are also an excellent forum for trainees.The range of OPBS options in the modern era is considerable and the potential choice of options available to a woman with a newly diagnosed breast cancer can be overwhelming. Extreme oncoplastic breast conserving surgery (EOBCS) refers to the use of oncoplastic breast conservation techniques in patients with multifocal, multicentric or locally advanced breast cancer (>5cm) which would be conventionally treated with mastectomy (+/- reconstruction). EOBCS has evolved with the improvements in systemic therapies, radiotherapy techniques and increased awareness of the psychological and quality-of-life benefits of breast conservation. In 2015 Silverstein et\u00a0al. reported 66 cases of EOBCS in patients who were advised mastectomy and declined. There is a lack of long-term data on the impact on recurrence, overall survival and distant metastases in patients opting for EOBCS , 49. TheHistorically there has been a dearth of high quality research in OPBS with minimal level I evidence derived from randomised controlled trials \u2013 the latter are arguably more challenging to undertake in this field. This often relates to issues of patient and surgeon preference in terms of specific operative procedures that can undermine surgical equipoise and dissuade patients from accepting treatment options determined by a process of randomisation. A more pragmatic trial design for evaluation of clinical and patient reported outcomes is prospective observational studies whereby patients can chose a particular surgical option and different groups of patients will then be compared in terms of specific outcome measures. This type of design is subject to confounding from unmeasured bias but otherwise represents a way of encouraging trial participation and relatively rigorous evaluation of outcomes whilst allowing patients to chose their surgery . Failure of trials to randomise OPBS patients provides valuable insights into how future clinical trials in this field should be designed .There has been a flurry of public interest in genetic testing and risk reduction strategies following revelations that the actress Angelina Jolie had chosen to undergo bilateral prophylactic mastectomy due to carriage of a BRCA-1 gene mutation. In addition to increased demand for genetic testing amongst breast cancer patients, the number of contralateral prophylactic mastectomy (CPM) cases have increased three-fold since this story appeared in the New York Times in 2013 . GeneticGenetic testing in the UK can take up to 12 weeks before results become available and management of younger women with primary chemotherapy (triple negative/HER2 positive breast cancer) provides a convenient surgical pause allowing genetic test results to be available when planning definitive surgical treatment. Some younger women without a documented pathogenic variant but a strong family history of breast/ovarian cancer may opt for risk-reducing surgery.The second part of this article will address the different types of techniques available for OPBS and criteria for selection of patients for appropriate options. The latter must ensure optimal oncological, and patient reported outcomes whilst minimising complications and delays in commencement of adjuvant treatments.The challenge of oncoplastic surgery is to reconcile oncological and aesthetic outcomes and maximise levels of patient satisfaction. There are broadly three primary aims that need to be addressed for each patient:1) Optimal oncological outcome \u2013 performing an extirpative procedure that minimises the chance of recurrence by removing the tumour with a clear margin of normal surrounding breast tissue as part of either a partial or complete mastectomy.2) Optimal cosmetic outcome \u2013 reconstituting the breast with either partial or whole breast reconstruction to provide optimal symmetry and shape in relation to the native breast.3) Minimal delays in commencement of adjuvant treatments \u2013 prevention of post-operative complications such as infection, wound dehiscence, haematoma, seroma, or fat necrosis that interfere with delivery of adjuvant treatment such as radiotherapy and chemotherapy.Volume rearrangement involves the use of local tissues to optimize the shape after wide local excision. It incorporates careful incision planning, appropriate undermining of the breast skin, meticulous closure of the dead space and mobilization of the local tissues. Volume replacement imports additional tissue with a flap to compensate for loss of volume from surgical ablation. By contrast, volume displacement rearranges the remaining breast tissue using methods of glandular advancement/rotation/transposition that serve to redistribute parenchyma and minimize the cosmetic impact of tumour excision. This is also referred to as \u2018therapeutic mammoplasty\u2019. In effect, the volume loss is absorbed over a wider area with concomitant re-shaping of the breast. Volume displacement surgery is less complex than autologous tissue transfer methods and avoids associated donor site morbidity. The reconstructed breast is notably of smaller volume and plastic surgery on the contralateral side is often required for symmetrization, which (more often than not) is an integral part of therapeutic mammoplasty. This applies especially to therapeutic mammoplasty where tumour excision is incorporated into standard/modified reduction procedure or breast lift. Volume displacement represents the simplest option for partial breast reconstruction and is usually preferred over techniques for volume replacement that involve more extensive surgery with harvesting of a myocutaneous or subcutaneous perforator flap. Volume displacement techniques are preferably used in patients with medium to large breasts with a significant degree of ptosis that render these patients well suited to these techniques. By contrast, volume replacement techniques are indicated in small breasted women encompasses volume rearrangement, volume displacement and volume replacement techniques. ed women , 49, 55.Techniques for OPBS were formally classified by Krishna Clough in 2010 and diviLevel 1 OPBS techniques - these involve resection of at least 20% of total breast volume that require relatively straightforward volume displacement techniques to achieve an acceptable cosmetic result with reshaping of the breast through advancement, rotation or transposition of existing parenchyma and skin with a resultant decrease in overall breast volume.Level 2 OPBS techniques \u2013 these involve resection of between 20% and 50% of total breast volume with restoration using methods for either displacement or replacement of breast tissue that may be combined with skin reduction or transfer.When up to 20% of breast volume is resected without any attempt to mobilize and re-model adjacent glandular tissue, then a significant defect in breast contour, shape and size may ensue. Resection of breast tissue in the upper outer or lower outer quadrants is less likely to result in a noticeable defect compared with resections in more cosmetically sensitive areas such as the upper inner quadrant. The cosmetic outcome after removal of a relatively small volume of tissue can be enhanced by simple mobilization of breast tissue adjacent to the surgical cavity. The extent of mobilization required will depend on the size of the defect and may involve undermining the whole breast plate. Extensive mobilization of breast tissue can sometimes threaten the blood supply to both the glandular tissue and skin. This can lead to post-operative necrosis and secondary infection with a poor aesthetic outcome and impaired quality-of-life . TherefoVolume displacement techniques \u2013 these can be employed to adjust for loss of larger breast volumes (20 \u2013 50%) and usually involve some form of mammoplasty that includes a variety of techniques such as Wise pattern, batwing, Grisotti, Benelli, Round block and vertical mammoplasty (LeJour) pattern.These various mammoplasty techniques involve resecting the tumour and a pre-determined volume of tissue and skin with rearrangement of the glandular tissue to re-form the breast. The re-fashioned breast is often smaller and less ptotic than the native breast and contralateral breast surgery is frequently indicated for symmetrization \u2013 Volume replacement techniques \u2013 these have previously been reliant on use of the latissimus dorsi (LD) flap harvested as either a myocutaneous flap in the form of a standard LD flap or the mini-LD muscle flap, the latter popularized by Rainsbury .Other methods for enhancing breast volume include lipo-modelling that has recently had a renaissance in the context of breast cancer surgery. This is especially useful as an adjunctive technique to \u2018plump up\u2019 mastectomy skin flap thickness around implants , 64. MorA wide range of OPBS techniques are now available and selection of the optimal method for any individual patient is dependent on breast size, degree of ptosis, tumour location (quadrant), the surgeon\u2019s expertise and patient preference. In terms of patient satisfaction, it is important that expectations are realistic, and patients understand that their overall breast size many be smaller following oncoplastic breast surgery and scarring can be more extensive than anticipated for some level II OPBS techniques. The choice of OPBS technique will also be influenced by the surgeon\u2019s skills set.Careful planning of skin incisions and appropriate orientation of the nipple-areola complex pedicle is essential when performing more complex volume displacement techniques that demand detailed knowledge of the blood supply of the breast and appreciation of plastic surgery principles. This applies particularly to transposition of glandular tissue when there has been extensive undermining from both chest wall and skin and secondary pedicles have been created during a classical Wise-pattern (therapeutic) mammoplasty to address complex/extensive defects and avoid a mastectomy . In the UK, breast surgeons are routinely trained in techniques of whole breast reconstruction that are implant-based with or without adjuvant material (matrix/mesh). NICE guidelines state that patients should be offered reconstruction unless existing co-morbidities pose a contraindication .Breast reconstruction can be performed at the time of mastectomy (immediate breast reconstruction [IBR]) or at any time after mastectomy (delayed breast reconstruction [DBR]). In recent years, IBR has gained wider acceptance with improved cosmetic results and reassuring evidence that reconstruction does not mask detection of recurrent disease \u201372.Furthermore, there are documented psychological benefits from IBR \u201376 and pFor some patients, mastectomy is mandated for breast cancer treatment based on factors such as the tumour: breast ratio, multifocal/centric cancers, or perhaps failed attempts at breast conserving surgery. A decision for mastectomy may also relate to age, genetic predisposition, and availability of IBR. Not all patients seek IBR and this may be contraindicated for some patients based on cancer type (inflammatory cancers), co-morbidities, BMI and smoking history. When proceeding with IBR, one of the most important early decisions is whether the nipple-areola complex should be preserved, and this will be determined on grounds of oncological safety, aesthetic benefit, surgical feasibility, and patient wishes. If pre-operative imaging reveals no direct involvement of the nipple by tumour and there is sufficient distance to the nipple, then nipple preservation is usually feasible, and several studies have confirmed the safety of NSM in terms of local recurrence , 81. NonMany breast units have strict selection criteria for IBR with smoking status and BMI being of paramount importance. A BMI in excess of 30 is associated with a 4-fold increase in major complications following IBR \u201384 but mSkin incisions for skin- and nipple sparing mastectomy should be discussed between surgeon and patient as these are associated with different rates of complications but a peri-areolar incision and infra-mammary fold (IMF) incision respectively are conventionally used and preferred by the majority of surgeons flap and deep inferior epigastric artery perforator flap (DIEP) and the superficial inferior epigastric flap (SIEA). The upper back flaps based on the thoracodorsal vessels are the standard latissimus dorsi (LD) flap and the totally autologous LD flap. Other potential flap donor sites for breast reconstruction include the thighs buttocks posterior trunk (LAP flap) and iliac region (Ruben\u2019s peri-iliac flap). Interestingly the use of the LD flap in conjunction with an implant (implant-assisted LD flap) for breast reconstruction has dramatically fallen in recent years with the advent of acellular dermal matrices that provide alternative coverage and support for an implant , 87. SimThe lower abdominal pannus provides generous tissue bulk for reconstruction purposes and therefore supplementation with an implant is unnecessary. These abdominal flap-based reconstructions have pedicle and free-flap variants and are more technically challenging with a greater risk of complications than implant only methods and may entail a microvascular anastomosis. Training in these autologous flap techniques is often protracted and involves specific microsurgical training (e.g. one year fellowship) and therefore these procedures are performed exclusively by plastic surgeons. The free-TRAM flap necessitates harvesting a variable amount of the ipsilateral rectus abdominis muscle (Nahabedian types 1-4) with consequent associated morbidity. The DIEP flap involves dissection and isolation of vascular perforators that pass from the inferior epigastric artery through to the rectus muscle fibres to supply the overlying skin and fat. The muscle therefore remains intact without compromise of abdominal wall integrity but retaining a large infra-umbilical pannus of skin and subcutaneous tissue with which to reconstruct the breast. The evolution of the free-TRAM into the DIEP flap has helped reduce donor site morbidity but there remains a finite risk of complete flap failure. This is generally between 3% and 5% and surgeon-specific rates should be made available to patients who may then chose not to embark on these higher risk reconstructive procedures. Rates of flap failure as low as 3% are achievable in units with high volume throughput and dedicated plastic surgeons with a predominant interest in breast reconstruction. Pre-operative CT angiography has helped predict the chance of success with a DIEP flap reconstruction by identifying candidate perforators and conversely indicating those patients who are technically unsuitable for this procedure. The biggest advantage of CT angiography in breast reconstruction has been to speed up the surgery as it prImplant-based procedures are the most commonly performed type of reconstruction worldwide and constitute about 70% of breast reconstructions in the UK (and a progressively increasing proportion of cases in the United States). This represents a simpler reconstructive option and has a more acceptable risk profile for many patients than autogenous forms of breast reconstruction. A particular advantage of implant-based IBR is a more rapid return to work and daily activities including familial and other commitments. Most women prefer to retain the same breast size but bilateral mastectomy and implant reconstruction provides the option for either downsizing or upsizing. This can also be possible with abdominal flap reconstruction depending on the relative sizes of the breasts and lower abdomen , anatomical site , shape and implant size and to a lesser extent projection. More recently whether to use a smooth or textured surface prostheses has become important in the light of the causative association of implant surface texturing with ALCL.in situ rotation can have serious consequences for the cosmetic appearance by producing weird breast shapes. Fortunately, anatomical implants only come with textured surfaces which reduce malrotation, malposition and flicking over.Round implants provide uniform projection all around and especially in the upper pole. Rotation of such implants has minimal consequence in terms of cosmetic appearance. By contrast, anatomical/bi-dimensional implants are tear drop in shape and more closely mimic the natural anatomical shape of the breast. Their via a port that is tunnelled subcutaneously. This can be minimally filled initially to relieve any pressure effects on the mastectomy flaps and wound during healing and can then be slowly expanded. Expanders can be temporary or permanent and ports can be removed separately if required .Fixed volume implants are exactly as their name implies and have an immutable size and volume compared with expander implants whose volume is adjustable Fixed volume implants and tissue expanders can be placed in a sub-muscular location with complete muscle coverage . Today prostheses are generally placed in the subpectoral position with partial coverage in a dual plane setting with a combination of pectoralis major muscle and a piece of ADM that is sutured between the lateral border of pectoralis major and the chest wall (IMF) to complete the implant pocket. Increasingly, the implant is placed in a pre-pectoral location without disruption of the pectoralis major muscle. In consequence there is no muscle animation, less post-operative pain and possibly evidence of less capsular contracture . A potenth) of implants are composed of material that is unlikely to cause an issue with longevity and necessitate routine replacement. Capsular contracture is an individual response of the host and exacerbated by exposure to irradiation which may require further surgery with capsulotomy and implant exchange. Breast implant associated anaplastic large cell lymphoma (BIA-ALCL) and breast implant-related illness are well publicized conditions which remain poorly understand but explanation of associated risks are part of the standard consent process. The risk of BIA-ALCL is commonly quoted as 1 in 28,000 but figures vary widely. This rare form of lymphoma arises in an effusion or scar capsule and patients are warned that any sudden breast swelling occurring more than 8-10 years from original surgery should be investigated to exclude BIA-ALCL. Fluid aspirated from around the implant can be tested for CD30 and the disease-specific marker ALK (anaplastic lymphoma kinase), reflecting a translocation in the tyrosine kinase receptor gene. Treatment in most cases is local and involves excision of the capsule and removal of the implant with later stages sometimes requiring systemic treatment with chemotherapy that is more effective for ALK positive cases (The current generation (5ve cases .Radiotherapy has a major impact on aesthetic outcomes following irradiation of skin and remaining breast parenchyma after OPBS and in the context of post-mastectomy radiotherapy (PMRT) with whole breast implant-based reconstruction. Although all cases of breast conservation will require radiotherapy, often a final decision on PMRT is made post-operatively when results of definitive histopathology are available. Nonetheless, PMRT may be anticipated, and this will be factored into the decision-making process in terms of surgical approach. Reports to-date suggest that ADM offers some protection from radiotherapy effects and pre-pThe Dindo classification of surgical complications introduced in 2004 is widely employed in breast surgery and permits objective comparison of outcomes between different studies.Complications relating to breast surgery patients are generally of mild to moderate severity and lie somewhere between grade 1 and grade 3b, grade 1 being a deviation from normal surgical course without the need for any type of intervention; grade 2 being a complication that requires pharmacological intervention or blood transfusion; grade 3a requiring surgical or radiological intervention without general anaesthetic . Nonethein vivo determination of tumor sensitivity, eradication of micrometastatic disease with improved overall survival and downstaging of axillary nodes to de-escalate definitive surgery and minimize upper limb morbidity. Some patients have dramatic clinical response to standard pre-operative chemotherapy regimens and for patients with HER2 positive disease and triple negative cancers, complete pathological response rates can be as high as 70%. Those patients with a complete pathological response (pCR) in both the breast and axilla have improved longer term survival , surgeon-related factors (including preference and skills set) and healthcare resources (including availability of theatre/capacity).Patients should be encouraged to engage in a shared decision-making process and will derive information from discussion with surgeons and breast care nurses often supplemented with online resources. They must be given sufficient time to absorb and process information before reaching a final decision on surgical management. Some studies have reported that only one-third of patients recalled being adequately informed about surgical options upon being questioned 3 months following surgery , 105. ThMore objective patient-related factors that influence suitability for an oncoplastic or reconstructive procedure include tumour: breast ratio, breast size and shape (degree of ptosis), body habitus, BMI, co-morbidities, anticipated adjuvant treatments, smoking habits, anatomical factors determining available tissue volume for breast reconstruction/replacement and previous radiotherapy.Patient factors and co-morbidities that influence healing, recovery, and tolerance of surgical/adjuvant treatments (chemotherapy and radiotherapy) include factors such as: smoking, diabetes, high BMI, vasculopathy, connective tissue diseases. Other factors to consider are patient expectations and understanding of their disease and treatment together with the need for any psychological evaluation and support.Breast cancer treatment involves a variety of modalities with possible side effects, which can be difficult for patients to understand and accept. One patient compared her journey through chemotherapy, surgery, and radiotherapy to being \"poisoned, slashed, and burnt.\" She revealed that she was unprepared for the whirlwind experience and its considerable impact. From a holistic perspective, breast cancer treatment affects patients' families, relationships, work, sexuality, confidence, independence, and mortality perception. With deadlines looming, patients must overcome obstacles and make decisions, even though they recognize that their choices may affect their survival. It is not unreasonable for patients to question the consequences of failure.As we have all seen once patients cross that initial phase of treatment and suddenly their chemotherapy and radiotherapy has finished, they are left with the one visible reminder of their journey; the breast. It can be a conflicting entity, a symbol of their sexuality, motherhood, cancer, and mortality. Many studies have confirmed that better aesthetic outcomes improve quality-of-life. The aforementioned catalogue of oncoplastic and reconstructive procedures provide breast cancer patients with a variety of options that can maintain or improve overall well-being and quality-of-life.Future directions of oncoplastic and reconstructive breast cancer surgery includes the sharing of information on a national and international level to identify trends and learn from good practice. BCCT.core software can help breast surgeons evaluate cosmetic outcomes of OPBS more objectively and 3D imaging for reconstruction can help with the consent and planning process . As we cOther patient-related factors that impact wound healing, post-operative recovery and how well patients tolerate adjuvant treatments include diabetes (types I and II), vasculopathy and connective tissue disorders. These latter conditions can affect viability of mastectomy flaps and transposed glandular tissue of the breast and some connective tissue diseases are a relative contraindication to radiotherapy.The diagnostic and treatment pathway for breast cancer patients is a difficult journey psychologically and it is important to gauge patients\u2019 understanding of their disease and in particular expectations from breast reconstructive surgery. Patients should not undergo simultaneous contralateral prophylactic mastectomy without formal psychological assessment. There is a relatively restricted timeline once a tissue diagnosis of breast cancer has been made and this may prove challenging and overwhelming for some patients who need more time to adjust to the diagnosis and accept a management plan that is likely to involve multi-modality treatment. Patients must cope with the mutilating effects of surgery and adverse side-effects of radiotherapy and systemic treatments . A breast cancer diagnosis has wider implications for a patient\u2019s family and relationships be this work-related or more intimate. Apart from negatively affecting body image, self-confidence and sense of femininity, breast cancer is a potentially life-threatening disease and can abruptly remind a patient of their own mortality. Survivorship has come to the forefront in recent years with more attention to quality-of-life and minimising the sequelae of breast cancer treatments \u2013 especially surgery and radiotherapy. Patients should have not only an acceptable cosmetic result, but also optimal functional outcomes without chronic symptoms of niggling discomfort or more overt pain symptoms. Nonetheless, the majority of women are successfully treated and will live for many years following breast cancer treatment.PW and JRB wrote the article. JRB edited article. CMM edited second part of the article, contributed photography and diagrams. All authors contributed to the article and approved the submitted version."}
+{"text": "This paper presents a hybrid and unsupervised approach to flame front detection for low signal-to-noise planar laser-induced fluorescence (PLIF) images. The algorithm combines segmentation and edge detection techniques to achieve low-cost and accurate flame front detection in the presence of noise and variability in the flame structure. The method first uses an adaptive contrast enhancement scheme to improve the quality of the image prior to segmentation. The general shape of the flame front is then highlighted using segmentation, while the edge detection method is used to refine the results and highlight the flame front more accurately. The performance of the algorithm is tested on a dataset of high-speed PLIF images and is shown to achieve high accuracy in finely wrinkled turbulent hydrogen-enriched flames with order of magnitude improvements in computation speed. This new algorithm has potential applications in the experimental study of turbulent flames subject to intense wrinkling and low signal-to-noise ratios.The online version contains supplementary material available at 10.1007/s00348-023-03651-6. Identifying the instantaneous position of the flame front and its representative geometric features is one of the most common tasks in the post-processing of optical images of turbulent flames. Indeed, accurate flame front detection gives access to an array of quantities such as curvature and flame surface density which are essential to relating turbulence and reaction rates. A common definition of the flame front is the location of peak heat release and are presented in Table Flames in this burner were imaged using a high-speed (10 kHz acquisition rate) OH-PLIF imaging system. This system has been described extensively in previous papers and a background (unburnt gases). Given an arbitrary intensity threshold mentclass2pt{minimi\u2217) Otsu . The proDespite its low cost and lack of supervision, Otsu segmentation tends to be less accurate as the flame fronts obtained are usually shifted from the location of peak gradients, as has been observed in Sweeney and Hochgreb . As willEdge detection is a common alternative to segmentation in flame front detection tasks. The aim is to locate the steepest gradients of OH intensity in PLIF images, which makes it a more accurate tracer of the position of the flame front. It is also a more attractive approach when the PLIF signal varies across the image, as gradients tend to be more reliable and resilient to noise than raw intensity values. Basic edge detection relies on computing a two-dimensional gradient map of the image, then using gradient magnitudes and their direction to trace a flame front and its relevant geometric features is smoothed by convolution : The gradient map is thinned to produce an image T consisting of edges of single pixel width. This is typically done by placing a Hysteresis thresholding: This step aims at eliminating low gradient edges due to noise and non-uniformities. Two hysteresis (gradient) thresholds, T with gradient magnitudes F is obtained. The algorithm Fig.\u00a0 can be bAt this stage, it is important to mention that the Canny algorithm, unlike Otsu segmentation, is supervised and requires that three operating parameters and on the other hand an accurate but supervised algorithm (Canny edge detection) which can only run unsupervised at the cost of precious computation time. In light of this, it is clear that a hybrid method combining both approaches would be of interest. The goal would be to use the approximate location of the flame front obtained using segmentation to guide the edge detection algorithm and eliminate the need for supervision. This involves finding a way around the problematic hysteresis thresholding stage which is the major point of supervision in the Canny algorithm. This idea is further explored in Sect.\u00a0A second motivation for a segmentation and edge detection hybrid stems from the thermodiffusive nature of lean hydrogen-air flames which causes the concentration of the OH radical to vary with the local curvature of the flame front. As can be seen in Fig.\u00a0Prior to flame front detection, it is common practice to pre-process images using a suitable combination of filters and contrast enhancement techniques. The goal is to improve the quality of the raw images and reduce some of the experimental noise to render any further processing possible. Filtering the image also helps produce smoother flame fronts unpolluted by high-frequency noise and undesirable zigzag effects. Here, we briefly highlight the importance of ensuring compatibility between flame front detection and pre-processing techniques, which is often overlooked in combustion literature.N is varied to cover a reasonable range of low, moderate, and high filtering settings. The flame fronts obtained using segmentation (s1-6) are strikingly sensitive to filtering and indicate significantly different flame surface geometries depending on filtering intensity. In the first image, the thin corridors separating the isolated product pockets and the main flame front appear to shrink with increasing N which is likely due to the blurring effect of filtering. Notice how the flame surface in (s3) is almost unrecognizable from its original shape in the raw OH-PLIF image, as the two product pockets are absent and the algorithm detects two erroneous small reactant pockets downstream. Similar observations can be made about the second image, where the small reactant pockets shrink gradually with filtering until they disappear completely when N reaches 100. Conversely, flame fronts computed using Canny edge detection (e1-6) are remarkably resilient to filtering and become smoother as N is increased. They also seem to benefit from edge-preserving filtering in the second snapshot as the algorithm is able to detect the isolated reactant pockets with greater ease. This is an additional testament to the excellent compatibility between edge-preserving filtering and gradient-based flame front detectors. Hence, if edge-preserving filters are to be used jointly with segmentation as has been done in a handful past investigations to more sophisticated non-linear, edge-preserving, filters where the SNR is typically very low is defined by measuring the distance across the flame front. The two-dimensional curvature can then be estimated using the formula:s are estimated at each point by fitting a second-order polynomial using the nearest 20 adjacent points (10 on either side) is used to adjust the contrast in the image. This is done by dividing the image into 64 equal tiles (8-by-8 grid) then applying histogram equalization to each one. About In the pre-processing stage, MATLAB\u00ae matrix product, denoted using the circled dot symbol \u201cA preliminary flame front is first obtained using the Enhanced Otsu algorithm, then used to construct a binary mentclass2pt{minimHochgreb , with moThe performance of the Filtered Canny algorithm is evaluated against the ground-truth Augmented Canny algorithm based on accuracy and computation time using the metrics introduced in Sect.\u00a0Localization errors are evaluated using precision and recall. Both quantities are measured on an image-by-image basis, so reliable statistics can be computed. The results are provided in Table Probability density functions (pdf) of two-dimensional curvature are computed for both the Filtered and Augmented Canny algorithms and are presented in Fig.\u00a0We conclude that accurate mapping of turbulent flame fronts can be achieved using the proposed hybrid scheme. The algorithm is able to detect flame edge points with comparable accuracy to its sophisticated high-performance alternative and identifies the global shape of complex and highly convoluted flame fronts faithfully.\u00ae (R2021b) which is commonly used for post-processing tasks in experimental combustion. The same implementation and settings of the Augmented algorithm presented in Sweeney and Hochgreb in record time, estimated at 2\u00a0h approximately. The reported runtimes include the edge detection stage only. Therefore, any further processing will most likely increase the total computation time. Thus, it is evident the proposed hybrid algorithm, in addition to being just as accurate, is quicker and more time-efficient than the high-performance Augmented algorithm. This facilitates the processing of larger data sets of turbulent and highly wrinkled flame fronts within reasonable computation times.Finally, the execution times of both the Filtered and Augmented Canny algorithms are recorded for each experimental condition on an image-by-image basis. Both algorithms are implemented in MATLABHochgreb are usedThe paper presents a hybrid and unsupervised approach to flame front detection in noisy PLIF images combining Otsu segmentation and Canny edge detection: the Filtered Canny algorithm. An adaptive contrast enhancement method, CLAHE, is proposed to improve the accuracy of segmentation with little increase in computational overhead. The contours obtained using segmentation can then be used to filter two-dimensional gradient maps in the Canny edge detection algorithm, which suppresses the need for hysteresis thresholding and hence supervision. The proposed hybrid Filtered Canny algorithm is evaluated against a high-performance alternative, the Augmented Canny algorithm (Sweeney and Hochgreb Supplementary file 1 (mp4 12053 KB)Below is the link to the electronic supplementary material."}
+{"text": "In individuals with first episode psychosis (FEP) and cannabis use disorder (CUD), reducing cannabis use is associated with improved clinical outcomes. Access to evidence-based psychological interventions to decrease cannabis use in FEP clinics is highly variable; E-mental health interventions may help to address this gap. Development of E-interventions for CUD in individuals with FEP is in its incipient phases.To assess preferences for online psychological interventions aiming at decreasing or stopping cannabis use in young adults with psychosis and CUD.Individuals aged 18 to 35 years old with psychosis and CUD were recruited from seven FEP intervention programs in Canada and responded to an electronic survey between January 2020-July 2022. We used the Case 2 Best Worst Scaling methodology that is grounded in the trade-off utility concept to collect and analyse data. Participants selected the best or worst option for each of the nine questions corresponding to three distinct domains. For each domain we used conditional logistic regression and marginal models to estimate preferences for attributes and attribute levels .Participants (N=104) showed higher preferences for the following attributes: duration of online sessions; mode of receiving the intervention; method of feedback delivery and the frequency of feedback from clinicians (Table 1). Attribute-level analyses showed higher preferences for participating once a week in short (15 minutes) online interventions . Participants valued the autonomy offered by online interventions which aligns with their preference for completing the intervention outside the clinic and only require assistance once a week . Participants\u2019 preferences were higher for receiving feedback related to cannabis consumption both from the application and clinicians at a frequency of once a week from clinicians .Image:Image 2:Image 3:Using advanced methodologies to assess preferences, our results can inform the development of highly acceptable E-Mental health interventions for decreasing cannabis use in individuals with CUD and FEP.None Declared"}
+{"text": "We then examined the association between different bonding styles, illness course and severity, and global functioning over a 10-year follow-up. Participants who perceived that their fathers had a more caring and less controlling parenting style showed better functioning at follow-up. However, in contrast to previous research, participants who reported having been subject to uncaring and controlling parenting styles were not found to have a notably worse course of illness or symptom severity over the follow-up period. These results indicate that more optimal parental bonding styles may be associated with better overall functioning in individuals with psychosis but not with other measures of illness outcome.A parenting style with high amounts of control combined with low caring or nurturing behaviour has been reported in association with mental disorders including schizophrenia. However, the association of parenting style with illness severity in individuals with schizophrenia has never been evaluated retrospectively or over a longitudinal time course. In a subset ( Studies that have operationalised parental bonding show there are two main concepts that contribute to the parental bonding relationship: warmth and affection over coldness and neglect, and excessive control, defined by strict rules and intrusiveness . An \u2018optimal\u2019 parental bonding style as defined by Bowlby (1977) consists of adequate care and nurture, but involves the promotion of independence.Sub-optimal, affectionless-control, styles of parental bonding have been found to be more prevalent in individuals diagnosed schizophrenia than in unaffected individuals . Nottingham participants showed lower symptom severity at baseline compared to London participants .Illness course over 10 years was assessed retrospectively. Information was collated from clinical records and, where possible, from follow-up interviews with participants and treating clinicians using an extended version of the World Health Organization (WHO) Life Chart scale with symptom (GAF-s) and disability (GAF-d) subscales Hall .Illness severity at baseline was calculated using a sum of the dimension scores from the Item Group Checklist (ICG) of the SCAN to compare between the full AESOP sample and those included in this analysis.t-test. Regression analyses were performed to evaluate the relationship between parental bonding and contribution of multiple covariates on global functioning scores.Differences in PBI risk scores between participants with different illness courses and severity were estimated using ANOVA or independent Socio-demographic and clinical characteristics of the sample are presented in Table No differences were seen in paternal or maternal PBI risk scores between participants with a remitting or non-remitting course of illness or between participants with different illness severity . Age, gender and baseline diagnosis were included as covariates. Symptom severity was not included as a covariate as it was not associated with either GAF or PBI scores. Paternal PBI risk scores were a significant predictor of GAF-s scores at follow-up (R2 = 0.34).A multiple regression analysis was carried out to investigate the association between PBI scores and global functioning. Only paternal PBI risk scores were included in the analysis as these were significantly correlated with GAF scores (GAF-s: Here we have evaluated, for the first time, the relationship between perceived parental bonding at the time of the first episode of psychosis and illness course and level of functioning over the first 10 years of illness. Our data show that the perception of sub-optimal paternal parenting at illness onset is associated with lower level of functioning 10 years later, but not with other clinical outcomes.A perceived high care and low protection style of parenting by fathers as indicated by a lower paternal PBI risk score was associated with higher GAF scores at follow-up. Our results suggest that parental bonding styles may be associated with broad psychosocial functioning following a first episode of psychosis. This result indirectly supports findings from previous cross-sectional studies of individuals with a diagnosis of schizophrenia showing that this optimal parenting style is associated with a milder course of illness (Parker et al. We did not find sub-optimal parental bonding style to be associated with specific measures of illness severity in individuals experiencing a first episode of psychosis. This result is in contrast with previous findings that individuals with a diagnosis of schizophrenia who report unfavourable parenting styles are more likely to experience a more severe course of illness (Parker et al. This study has some methodological limitations to be considered. We have a relatively smaller sample size which reduced the statistical power of our study. We included participants from just one study site, which had a lower average severity of illness at baseline. This might bias our results and restrict the generalisability of the findings.While this study has its limitations, it gives a unique opportunity to consider the role of the perception of parental bonding early in the development of a psychotic illness and its impact on patient outcomes over an extended period.To our knowledge, this is the first study evaluating the impact of perceived parental bonding styles on functional and illness outcomes in individuals with psychosis after 10 years of illness. We found an association between \u2018optimal\u2019 paternal bonding styles and better long-term functioning in this sample. The observational nature of these data prevents any conclusion on a causal relationship between parental bonding styles and psychosis outcomes. Still, the results provide a basis for future studies on the role of parental bonding styles in individuals living with psychosis, with a view to improve familial support for these individuals and therefore improve functional and clinical outcomes."}
+{"text": "Thyroglossal duct (TGD) remnants in the form of cysts or fistulas usually present as midline neck masses and they are removed along with the central body of the hyoid bone (Sistrunk\u2019s procedure). For other pathologies associated with the TGD tract, the latter operation might be not necessary. In the present report, a case of a TGD lipoma is presented and a systematic review of the pertinent literature was performed. We present the case of a 57-year-old woman with a pathologically confirmed TGD lipoma who underwent transcervical excision without resecting the hyoid bone. Recurrence was not observed after six months of follow-up. The literature search revealed only one other case of TGD lipoma and controversies are addressed. TGD lipoma is an exceedingly rare entity whose management might avoid hyoid bone excision."}
+{"text": "Advanced computer vision mechanisms have been inspired by neuroscientific findings. However, with the focus on improving benchmark achievements, technical solutions have been shaped by application and engineering constraints. This includes the training of neural networks which led to the development of feature detectors optimally suited to the application domain. However, the limitations of such approaches motivate the need to identify computational principles, or motifs, in biological vision that can enable further foundational advances in machine vision. We propose to utilize structural and functional principles of neural systems that have been largely overlooked. They potentially provide new inspirations for computer vision mechanisms and models. Recurrent feedforward, lateral, and feedback interactions characterize general principles underlying processing in mammals. We derive a formal specification of core computational motifs that utilize these principles. These are combined to define model mechanisms for visual shape and motion processing. We demonstrate how such a framework can be adopted to run on neuromorphic brain-inspired hardware platforms and can be extended to automatically adapt to environment statistics. We argue that the identified principles and their formalization inspires sophisticated computational mechanisms with improved explanatory scope. These and other elaborated, biologically inspired models can be employed to design computer vision solutions for different tasks and they can be used to advance neural network architectures of learning. ImageNet challenge. This started the era of deep learning, in which progress on many computer vision tasks was made by training deep convolutional neural networks (CNNs). While neural networks are clearly inspired by biology (hence the name), most recent breakthroughs are attributed to technical improvements to network components, architectures, and training procedures natural scene statistics.But do the learned feature detectors tell us anything about neuroscience mechanisms?The apparent ease and robustness by which biological organisms operate and solve visual tasks motivates taking such functionality as inspiration for computer vision. In recent neural network models, complex detectors are trained end-to-end to generate feature representations at different hierarchical levels. Such deep learning architectures are inspired by the neural architecture of the mammalian visual system. These systems consist of processing stages with increasingly complex response characteristics and feature selectivity (Yamins and DiCarlo What) and spatial (Where) characteristics of the input, respectively stages of the visual system in primates how to compare model frameworks that were developed in different domain contexts and (ii) how to define a particular task in which computational mechanisms from biology and machine vision are considered.The opportunity to cross-fertilize between the fields of computer vision and in computational cognitive neuroscience is self-evident. The core question is, Middlebury datasets that can mimic biological plausibility depends on statistical properties of the training data. For example, the ImageNet database is biased toward object categories as they are indexed by the WordNet hierarchy cells interact laterally over larger intra-areal spatial distances and (ii) they receive input from cells in areas higher up in the processing hierarchy (via feedback). Thus top-down signals are re-entered at representations of lower stages and red Masland .For each of the above-mentioned principles we provide some example investigations into various tasks of visual information processing. All are based on a small set of key neural processing principles. They demonstrate their capabilities to yield high efficiency through brain-like processing.The canonical principles that we focus on are summarized in the following. We subsequently provide examples of different modeling investigations and how such principles lead to computational solutions for different visual tasks. These mechanisms provide a basis set of elemental operations with inputs from different feature domains. Different latent representations will be generated for individual tasks and their solutions. The canonical principles considered are the following:Neural network models can be described at different levels of detail, ranging from molecules over membrane channels, synapses, neurons and networks up to large-scale components interacting at the neural systems level of an already existing cell activation. The activation will have been generated by driving input. Consequently, modulating input by itself cannot generate an output activation of a target cell. The compartmentalized structure of pyramidal cells implements such functionality through a net multiplicative effect for coincident basal and apical cell activation input filtering specific to the level in the architecture and recurrent lateral integration of activities generated by neighboring nodes, (ii) the top-down modulation utilizing the mechanism in eq.\u00a0r integrates the input (right hand side) that is defined by a leak current that is again defined by a leak current (first term) and the weighted integration of E-state activations over a neighborhood in the space-feature domain (second term). In addition, a tonic input level and a self-inhibitory term are optional components . The finally calculated output activation is determined by the E-state which is passed through a firing rate function g. Indexes i and v (or k and f in the weighted activity integration) represent spatial locations and quantified feature values, respectively. Different P. Here, filtered bottom-up input, intra-layer activity and top-down signals converge at individual sites as depicted in Fig.\u00a0The dynamics of the resulting E-I node is formally described by a pair of ordinary differential equationsr is given in eq.\u00a0The output calculation of E-I model nodes is more complex than simple filter models used in computer vision or in convolutional neural networks (CNN). Filtering is here part of the response calculation. The activity entclass1pt{minimaP in eq.\u00a0The response calculation for model units here is more complex and integrates filtering with lateral and feedback mechanisms. At each stage of a hierarchical processing architecture, bottom-up peripheral sensory data streams (filter outputs) are now combined with contextual information. Such contextual information is provided (i) at the same level of the perceptual representations through lateral interaction and (ii) by representations higher up in the hierarchy through top-down feedback signals. In the modeling framework outlined here, the feedback is modulatory and thus amplifies the resulting activations generated by the filtering and the lateral integration and two variants have the feedback connections between two stages eliminated while the other stays intact. This results in two further versions, namely one with the V4Using the proposed model architecture, we investigated which network connections contribute most to the desired functionality. To evaluate the strength of contrast selectivity, we defined a metric that compares activations in model area V4, which is selective to texture segregation . The results demonstrate that computer vision tasks can be solved by such neural mechanisms. They could be further improved by adopting task-specific requirements defined for a given application domain is guided by a coherence or homogeneity property that region elements share. As already highlighted above, Nothdurft\u2019s experiments suggest that such homogeneity properties should include first-order contrast information between feature items as well representations at the stage of motion integration in model area MT recurrently interact with motion integration in model MSTl and the local spatiotemporal frequency detection in area V1. This integrates unambiguous feature responses, e.g., at line ends, with ambiguous motion estimates at outlines. The resolution of uncertainty is achieved iteratively and it therefore takes time to disambiguate local estimates starting at localized features. The motion integration robustly combines translatory and rotational motion.biological inspiration and characterization of computational properties to be incorporated in computer vision models:In addition, we demonstrate how such models of motion detection and integration can be implemented on neuromorphic hardware. We show how event-based input from a neuromorphic camera leads to the representation of event clouds (without discrete frames) to be processed by a bank of oriented spatiotemporally sensitive filters. Such a scheme can be executed on a neuromorphic chip to operate in real-time. Additional stages of normalization and the integration in a two-layer bidirectionally coupled network (outlined in the first example) can also be made operational to build neuromorphic schemes of motion analysis. Again, both example cases characterize some canonical principles summarized in Sect.\u00a0The computational functions are supported by structural and functional motifs from visual neuroscience and can be employed in computer vision tasks.Local motion seen through an aperture allows measuring normal flow only, leading to the aperture problem. In Pack and Born it is deWe proposed a multi-layer hierarchical model architecture of processing along the dorsal pathway with similar components as the model for shape processing in the ventral stream. The model is composed of three layers, which correspond to cortical areas V1, MT, and MSTl. The areas are represented by layers of mutually coupled excitatory and inhibitory cells. In the first layer, we utilize oriented filters with contrast sensitive spatial weighting functions. Their response characteristics are selective to spatiotemporal shifts to the left or to the right of the axis of orientation. Filter responses are inhibited by activity of a pool of cells over a spatial neighborhood, different contrast orientations and spatiotemporal motion selectivities. Like in the model architectures described in the previous sections, the inhibition has a divisive, or shunting, effect. The resulting output responses are integrated by velocity selective cells in the next layer, corresponding to area MT. Cells tuned to different directions integrate input activations from model V1 cells at locations corresponding to the individual speed selectivity of model MT cells. Again, cell responses are normalized by integrated pool activities over a space-velocity neighborhood. Output responses feed forward to a layer of direction sensitive cells, corresponding to area MSTl. They integrate MT output over a large spatial neighborhood and different speed selectivities. Cell responses undergo mutual competition to normalize their activities. All outputs generated at the different model layers also generate modulatory feedback to cells at topographically corresponding positions in the previous layers. The recipient locations are shifted corresponding to the linear forward predictions by motion selective cells. The motion selective cells are able to make these predictions due to their direction as well as speed selectivity. The modulatory enhancement again follows the mechanism specified in eqs.\u00a0Simulation results of the model are shown in Fig.\u00a0Regularized motion integration schemes in computer vision often employ a data term that minimizes the IOC error of the velocity estimates Hildreth . In addiThe influence of the modulating top-down feedback at different levels of the model architecture is demonstrated in Fig.\u00a0To illustrate the contributions of modulatory feedback for motion integration and the consequences of their elimination, we show two examples generated by using an intact model architecture and MTier Fig.\u00a0. The offion Fig.\u00a0.MT feedback activity generates a perceptual hysteresis effect for prolonged input motion statistics Fig.\u00a0c. An inpmultiple object motions in the scene? We briefly summarize some of our investigations that extend the introduced model framework to handle more complex motions that are generated by multiple shapes or patterns and their occlusions.The local cooperative-competition mechanisms described above support building representations of shapes moving in the image plane. So far, we discussed how coherent motion interpretations of such objects could be inferred. What about intrinsic termination feature belongs to an object or surface, while an extrinsic feature belongs to an occluder. The visual system seemingly re-weights the influence of such features to integrate those that belong to a coherent shape and to segregate the occluding segments apart each pixel asynchronously generates a response if the intensity sensed at a pixel position changes significantlyA family of image sensors have been developed that generate address-event representations (AER) instead of recording full-frame images . For example, in the waterfall illusion the adapting stimulus is defined by water flowing in one direction . Figure\u00a0w denotes the scalar weight that is subject to dynamic adaptation (at a rate s(t) is the temporal input signal generated by presynaptic nodes. The constant The model makes the prediction that the different observed adaptation time-scales are due to adaptive synaptic efficacy in the feedforward and the feedback streams. In order to assess this prediction, different model variants have been specified, which employ adaptive synapses with slow or fast adapting time-scales. One model architecture extinguishes the feedback connections to test a feedforward model with fast and slow synaptic adaptation (model 1 and 2). The full recurrent model architecture employs adapting synapses either in the forward path or in the backward path . Finally, both pathways use adapting synaptic connections with fast feedforward and slow feedback adaptation (model 5). The temporal dynamics of the synaptic efficacy, or weight scaling function, is defined byboth feedforward and feedback pathways responded within the psychophysical range of human performance. The different icons in Fig.\u00a0The different models generate predictions for the psychometric PSE using parameter settings (The authors incorporated adaptive synapses in the cortical model architecture of feedforward and feedback motion detection and integration. This specifies a powerful extension that enables the visual representations adapt to the temporal statistics of the input. For computational vision systems, such function defines a candidate mechanism habituating to unforeseen distortions of an imaging sensor. The multiple rates of adaptation in the feedforward and the feedback path, respectively, systematically change the properties of sensing natural environments. The exposure to skewed natural stimuli induces an adaptation in motion perception by changing the weight coefficients in the spatiotemporal kernels.In this paper, we have reviewed canonical principles of computation found in biological vision systems that can be utilized to potentially advance computer vision algorithms. These principles of computation were distilled from physiological, anatomical, and behavioral findings. The resulting survey of computational approaches is not exhaustive. Rather, its aim is to distill a conceptual narrative from studies in neuroscience and perception. We do not claim that the principles considered in this work form a complete taxonomy of structural and functional evidence. At the beginning of such a proposal stands the question what computer vision can learn from neuroscience and how the different domains can be compared. Based on our own previous work, we advocate a task perspective on the development and comparison of biologically inspired vision mechanisms.The primary focus is the integrated processing along feedforward, lateral and feedback streams. Growing evidence supports the view that the recurrent interaction of signal flows determines the flexibility and adaptability of processing at different sub-cortical and cortical stages. Different theoretical frameworks have been developed over the last four decades that predict different computational roles for the feedback recurrence in biological information processing Fig.\u00a0. Some ofWe emphasized the theme of recurrent feedforward and feedback interaction of information streams. This theme is combined with other computational principles, such as normalization, integration and segregation of responses, and competitive-cooperative mechanisms. We describe an emerging computational motif that is composed of a few core mechanisms to transform an input to an output activity. Crucially, bottom-up signals drive the activity, while top-down signals modulate the activations - in accordance with experimental evidence. The model structure is modular in the sense that it defines a template that can be parameterized. It has then been instantiated at different stages in the processing hierarchy and in the different pathways of form and motion processing. Based on the task perspective we identify and characterize biological computational principles. We define a potential candidate mechanism that is able to solve the considered task and its constraints. We specify only a few characteristic neural computational principles and demonstrate how these operate in a particular task domain. In particular, we specify the basic neural mechanisms for processing shape and form, specifically to demonstrate the binding of local feature characteristics. This leads to the formation of object boundaries and to the segregation of textured regions in cluttered scenes. The same set of mechanisms is subsequently used to investigate the local detection and integration of motion in images. These mechanisms support the disambiguation of local evidences to form coherent representations of object motion. The neural mechanisms robustly handle different types of motion, namely translatory and rotational motion. Together with complementary form information, they can generate early decisions to segregate motion information and assign it to distinct mutually occluding objects in the scene. Cases of illusory motion perception that are predicted by the model are investigated to reveal the detailed computations and properties underlying motion integration.The computational template can be easily extended to process different representations and to incorporate further functionality. We present examples of adapting the model to process sensor data in an address-event format utilizing neuromorphic computing principles, resulting in efficient, low-redundancy computation with brain-like principles. In addition, we extended the basic model architecture of motion processing to incorporate temporal adaptation mechanisms. These mechanisms adjust the sensitivity of the computational elements when the environmental conditions change. Together, these examples with the specified mechanisms and their example computational demonstrations are further contributions of this paper.We motivated the investigation of biologically inspired computer vision mechanisms and their properties. We set the focus on mechanisms of mid-level vision that operate in the ventral and the dorsal cortical pathway in primates. We emphasized several computational principles, such as recurrent processing, normalization, and gain control, which can be used to explain computational mechanisms of feature binding for grouping and selection based on cooperative-competitive response integration. Assembling them to utilize the complementary characteristics of form and motion, we can realize perceptual decision-making in discrimination tasks and employ coding principles and representation to achieve sparseness, coherence, and high temporal precision. Augmenting the kernel functions with temporal adaptation characteristics incorporates short-term response adaptation to changing environmental properties.A key behavioral task of vision systems, biological or technical, is object recognition. In DiCarlo et\u00a0al. an attemThis paper discussed modeling examples that were investigated in previous work by our group. As mentioned above, we did not fully elaborate the description relating the selected modeling results to other state-of-the-art neural modeling investigations. The work cited regarding comparable or competing model investigations is selective and certainly incomplete. The research cited served as motivation for the developments shown here, some of which are using similar principles. None of the other models employ the full set of basic mechanisms which, according to our proposal, form a set of canonical principles. The combination of these mechanisms forms a template, which can be adapted to many computer vision tasks. The mechanisms, which define the basic computational motif, were originally utilized to explain or predict data observed in neuroscience or behavioral experiments. However, the models demonstrate their applicability also in processing data from real-world scenarios. The identified canonical principles of neural computation serve as candidate mechanisms for computational vision algorithms and can directly be adapted to recent neuromorphic architectures of brain-like computation.The focus of our paper was on the specification of neural processes of mid-level vision and their spatio-temporal dynamics. This focus was motivated through a task-level perspective of vision and the assumption of a structure-function relation to understand key neural computational principles. The principles of canonical circuit computation have identified recurrent feedforward and feedback interaction as a main principle of information processing that is employed in the brain. Their closed loop interaction allows biasing the forward sweep of sensory-driven input by contextual information and by decisions made at higher stages in the processing hierarchy. Such interactive processing combines sensory with contextual information and with local mechanisms of competitive processing. These support activity normalization over a specified region in space-feature representations. Together with the canonical feedforward and feedback processes, the mechanisms achieve local decision-making and the assignment of perceptual value to neural activations at a specific stage in the neural hierarchy.learning,incremental grouping, andattention and active perception.The network functions discussed in this work did not consider any learning mechanisms in order to build the necessary filters or feature detectors to form neural representations or adapting them to the input statistics. Major lines of previous investigations capitalize on how neural principles may establish internal neural representations. One such theme investigates how representations self-organize through local correlated activation of coupled neurons and their kernels of local connection weights (Grossberg Necessarily, our focus in the discussion leaves out other topics. The following items list major functions in neural architecture that were not considered here, namelyincremental grouping operations which act serially (Ullman The mechanisms of perceptual grouping considered here process the local feature maps in parallel and automatically. They aim at binding relatable visual items to build coherent representations of boundaries and relatable items as inputs for higher-level processing. Such processing is realized by base grouping operations, which operate by evaluating hard-wired associations in primary feature dimensions. However, evaluating more specific feature elements in the visual input is based on y Ullman . The seaattention. Attentive selection enables an observer to actively pick relevant information from the wealth of input streams while at the same time discarding or filtering other information (Tsotsos et\u00a0al. The serial processing of features and their binding incrementally builds neural representations for task-driven recognition and decision-making. It requires additional mechanisms to schedule and execute processes sequentially (Tsotsos and Kruijne All such processes and mechanisms discussed in the paragraphs above, define possible routes to further investigate the presented canonical circuit mechanisms of brain computations and their employment in approaches to computer vision. Tasks related to these functionalities define challenges for investigations to utilize the discussed network functions and how they might be integrated in new more elaborated principles of computation and learning. We suggest that these are candidates to provide an enriched repertoire of brain-inspired mechanisms, that define computational motifs to develop future systems level computer vision mechanisms."}
+{"text": "There is increasing evidence from human and animal studies that cortical spreading depression (CSD) is the neurophysiological correlate of migraine aura and a trigger of migraine pain mechanisms. The mechanisms of initiation of CSD in the brain of migraineurs remain unknown, and the mechanisms of initiation of experimentally induced CSD in normally metabolizing brain tissue remain incompletely understood and controversial. Here, we investigated the mechanisms of CSD initiation by focal application of KCl in mouse cerebral cortex slices.2+ (CaV) channels. If the drug blocked CSD, stimuli up to 12\u201315 times the threshold were applied.High KCl puffs of increasing duration up to the threshold duration eliciting a CSD were applied on layer 2/3 whilst the membrane potential of a pyramidal neuron located very close to the site of KCl application and the intrinsic optic signal were simultaneously recorded. This was done before and after the application of a specific blocker of either NMDA or AMPA glutamate receptors or voltage-gated CaV channels with Ni2+ completely inhibited CSD initiation by both CSD threshold and largely suprathreshold KCl stimuli. Inhibiting AMPARs with NBQX was without effect on the CSD threshold and velocity. Analysis of the CSD subthreshold and threshold neuronal depolarizations in control conditions and in the presence of MK-801 or Ni2+ revealed that the mechanism underlying ignition of CSD by a threshold stimulus (and not by a just subthreshold stimulus) is the CaV-dependent activation of a threshold level of NMDARs (and/or of channels whose opening depends on the latter). The delay of several seconds with which this occurs underlies the delay of CSD initiation relative to the rapid neuronal depolarization produced by KCl.Blocking either NMDARs with MK-801 or CaV channels are necessary for CSD initiation, which is not determined by the extracellular K+ or neuronal depolarization levels per se, but requires the CaV-dependent activation of a threshold level of NMDARs. This occurs with a delay of several seconds relative to the rapid depolarization produced by the KCl stimulus. Our data give insights into potential mechanisms of CSD initiation in migraine.Both NMDARs and Ca Cortical spreading depression (CSD) is a slowly propagating self-sustaining wave of nearly complete depolarization of a sizable population of brain cells that lasts about one minute and silences brain electrical activity for several minutes (hence the name spreading depression) \u20133. Theree [e and/or extracellular glutamate above critical threshold values are key initiating events for CSD ignition. The idea that an uncontrolled rise of [K]e and of spilled glutamate can cooperate in the generation of CSD is also supported by modeling studies aimed to define the minimal biophysical machinery capable of initiating CSD [In vivo measurements of [K]e and, onle at the Cting CSD , 11. Accting CSD , 11.e) and that they are highly expressed in the apical dendrites of pyramidal cells, which appear preferentially involved in CSD initiation in-dependent and their opening occurs above a certain [Ca2+]in, or presynaptic, as e.g. could be the case if the opening of the cationic channels depends on sufficient CaV-dependent neurotransmitter release. The lack of effect of NBQX and the little effect of MK-801 on the second peak depolarization exclude that these cationic channels are glutamate receptors.The kinetics of development of the Canecessary for initiation of CSD. The finding that blocking either NMDARs or CaV channels prevents initiation of CSD by even very intense, largely suprathreshold stimuli (up to 12\u201315 times the threshold stimulation) shows that both CaV channels and NMDARs are necessary for initiation of CSD . Near the site of application of the suprathreshold stimuli, neurons are completely depolarized but, in the presence of MK-801 or Ni2+, the depolarization does not propagate (and hence is not a CSD). This provides strong evidence that it is not the level of extracellular K+ and of the neuronal depolarization per se that determines the initiation of CSD. Consistent with and supporting this conclusion is also the finding that the early depolarization produced by threshold stimulation was quite different in different experiments and was similar to that produced by a just subthreshold stimulation.Our study provides novel insights into the ion channels that are Based on the finding that the early depolarization recorded in pyramidal cells located far (>\u2009200\u00a0\u03bcm) from the KCl puffer was not affected by the selective block of NMDARs in the recorded individual neurons (by either intracellular MK-801 or genetic ablation of GluN1), Mei et al. concludee diminished and in some cases completely returned to baseline by the time CSD developed.How general are our conclusions regarding the CSD initiation mechanisms if we consider other methods of CSD induction in normally metabolizing brain tissue? They appear valid for optogenetic CSD induced by focal light stimulation to depolarize pyramidal cells expressing channelorodopsin2 in anesthetized or awake+/K+ ATPase [2+ completely inhibited the glutamate rise preceding CSD initiation by veratridine in FHM2 mice, thus showing its dependence on CaV-initiated release, and prevented CSD initiation by threshold stimulation in most FHM2 mice [2+ did not prevent CSD initiation by suprathreshold stimulation, suggesting that, in contrast with KCl-induced CSD, CaV channels and CaV-dependent glutamate release are not necessary for initiation of CSD by high concentrations of veratridine, which likely activates other processes contributing to CSD ignition [Our conclusions appear also in large part valid for CSD initiation by veratridine in awake head-fixed mice . CSD ini+ ATPase ), despit+ ATPase , in agre+ ATPase , 32, 39.+ ATPase ) compareHM2 mice . Howeverignition .V channels and NMDARs do not appear necessary for initiation of this cerebral cortex-specific optogenetic CSD, since initiation of CSD induced by likely suprathreshold light stimuli was not prevented by the block of CaV channels or NMDARs . However, the inhibition of CaV channels or NMDARs delayed CSD initiation, suggesting that both CaV channels and NMDARs likely contribute to the initiation of CSD (and it remains to be seen whether their inhibition would prevent it at threshold stimulation).Our conclusions do not appear valid for CSD induced in cortical slices by focal light stimulation to depolarize GABAergic interneurons expressing channelorhodopsin2 . CaV chaV channels activation and CaV-dependent glutamate (and possibly other neurotransmitters) release as well as impaired handling of glutamate release, which result in threshold levels of extracellular glutamate and glutamatergic plumes and cooperative activation of (synaptic and extrasynaptic) NMDARs on the apical dendrites of pyramidal cells above a threshold level. Increased susceptibility to CSD in both FHM1 and FHM2 knockin mice is due to the fact that these threshold levels are reached with stimuli of lower intensity.Overall, the data on the mechanisms underlying the initiation of CSD by a threshold focal stimulus in wild-type mice as well as the data on the mechanisms underlying the facilitation of CSD initiation in FHM1 and FHM2 knockin mice , 27, 32 V-dependent glutamate release and clearance of glutamate at cortical excitatory synapses, which might be created by enhanced CaV2.1-dependent glutamate release (as in FHM1) [Shedding light on the CSD initiation process in normally metabolizing brain tissue, our data give insights into potential mechanisms of CSD initiation in the brain of migraineurs. In particular, they suggest that initiation of a \u201cspontaneous\u201d CSD may be favored by conditions leading to excessive activation of synaptic and extrasynaptic NMDARs in the apical dendrites of cortical pyramidal cells, due to excessive synaptic excitation and local elevation of glutamate above a critical threshold level. This may occur as a consequence of an imbalance between Cain FHM1) , 26, 41 in FHM1) , 27 or oin FHM1) . This miin FHM1) .Vs and NMDARs both of which do not seem necessary for initiation of spreading depolarizations [V-dependent NMDAR activation as a mechanism for the increased frequency of peri-infarct spreading depolarizations in the FHM1 mice and with prolonged activation of NMDARs and calcium influx during the spreading depolarizations as cellular mechanisms of neuronal injury [Peri-infarct and post-trauma recurrent spreading depolarizations are frequently observed in infarct and brain trauma, and they affect the disease outcome \u201347. Accoizations . Nonetheizations \u201350. In fizations , 50. Intizations . This isl injury .V channels are necessary for CSD initiation, which is not determined by the level of extracellular K+ or neuronal depolarization per se, but requires the CaV-dependent activation of a threshold level of NMDARs. This occurs with a delay of several seconds relative to the rapid depolarization produced by the KCl stimulus. We hypothesize that this delay might reflect the time necessary to reach threshold levels of extracellular glutamate-glutamatergic plumes consequent to impairment of glutamate clearance. Our data give insights into potential mechanisms of initiation of \u201cspontaneous\u201d CSDs in the brain and hence into the unknown mechanisms which make the brain of migraineurs susceptible to CSD, the neurophysiological correlate of migraine aura and a trigger of the migraine pain mechanisms.Our investigation of the mechanisms underlying CSD initiation by focal application of high KCl in acute cerebral cortex slices shows that both NMDARs and Ca"}
+{"text": "Although differentiated service delivery (DSD) for HIV treatment was endorsed by the WHO in its landmark 2016 guidelines to lessen patients\u2019 need to frequently visit clinics and hence to reduce unnecessary burdens on health systems, uptake has been uneven globally. This paper is prompted by the HIV Policy Lab\u2019s annual report of 2022 which reveals substantial variations in programmatic uptake of differentiated HIV treatment services across the globe. We use Uganda as a case study of an \u2018early adopter\u2019 to explore the drivers of programmatic uptake of novel differentiated HIV treatment services.n\u2009=\u200918), district health team members (n\u2009=\u200924), HIV clinic managers (n\u2009=\u200936) and five focus groups with recipients of HIV care (60 participants) supplemented with documentary reviews. Our thematic analysis of the qualitative data was guided by the Consolidated Framework for Implementation Research (CFIR)\u2019s five domains .We conducted a qualitative case-study in Uganda. In-depth interviews were held with national-level HIV program managers and implementation strategies for promoting programmatic adoption.Our analysis suggests early adoption derives from Uganda\u2019s decades-old HIV intervention implementation experience, the imperative of having a high HIV burden which prompted innovations in HIV treatment delivery as well as outer context factors such as receiving substantial external assistance in policy uptake. Our case study of Uganda offers implementation research lessons on pragmatic strategies for promoting programmatic uptake of differentiated treatment HIV services in other countries with a high HIV burden. Sub-Saharan Africa (SSA) has the highest HIV burden in the world. Of the 37 million people living with HIV in the world, 20.6 Million come from this region alone .Within SSA, Eastern and Southern Africa has the highest HIV prevalence . Four coThe majority of countries in SSA have generalized HIV epidemics with significant numbers of their people living with HIV (PLHIV) on ART. South Africa alone has nearly five million people on ART . As a coTo ease pressure on over-burdened health systems and to help meet the escalating demand for ART, the World Health Organization (WHO) and major donors such as the President\u2019s Emergency Plan for AIDS Relief (PEPFAR) and the Global Fund to Fight AIDS, Malaria and Tuberculosis have endorsed \u2018differentiated service delivery\u2019 (DSD), which is a novel adaptation to traditional HIV service delivery. DSD contrasts with the traditional HIV care \u2018one-size-fits-all\u2019 approach, that is, undifferentiated to the needs of individual patients. Traditional HIV treatment services are clinic-based, physician-centered and entail fixed monthly visits to clinics regardless of clinical need. For instance, Uganda is currently implementing four DSD models which include; i) Fast Track Drug Refill (FTDR) that entails receiving 3\u20136 monthly medication refills freed from clinical review, ii) Community Client-Led ART Delivery (CCLAD) where voluntary groups of 6\u201312 patients rotate in picking up medication refills from facilities iii) Community Drug Distribution Points (CDDPs) where outreach sites within communities are designated for medication pick-ups and iv) Facility Based Group (FBG) where patients form adherence support clubs. Select providers in Uganda such as The AIDS Support Organization (TASO) piloted the FTDR model prior to WHO\u2019s formal endorsement in 2016 which enhanced uptake by RoC when these models were formally approved in 2017 in Uganda.Differentiated HIV treatment services entail a reduction in the intensity of contact by patients with the health system from monthly to quarterly or even six-monthly visits, particularly for those who are clinically stable \u20139. The WDSD holds multiple advantages for the health system such as reducing health worker workloads due to greater appointment spacing afforded to patients stable on ART. From the perspective of patients, DSD entails savings in time and transport through reduced frequency of visits to clinics \u20139. DurinSeveral countries in SSA have been implementing DSD since the WHO\u2019s landmark 2016 guidelines were published, and previous studies have focused on implementation barriers to DSD roll-out , 7 and pThis study is partly prompted by findings from the HIV Policy Lab\u2019s global report of March 2022 which reWe utilize an implementation research lens to underWe adopted a qualitative case study research design \u201323. As YUganda was purposively selected because it adopted WHO\u2019s 2016 landmark international guidelines on differentiated HIV treatment services in its national HIV treatment guidelines the same year they were released . SecondlUganda\u2019s resource-constrained setting is similar to that in other countries in SSA and the implementation research \u2018lessons learned\u2019 approach is likely to have relevance beyond Uganda. Gilson and colleagues have higintervention characteristics ; (2) outer setting ; (3) inner setting ; (4) characteristics of individuals and; (5) process . The five CFIR-derived domains guided this study in multiple ways; it was used to categorize our study participants, it provided a structure for our interview topic guides, it guided our data analysis and in the overall interpretation and synthesis of study findings.This study was underpinned by the Consolidated Framework for Implementation Research (CFIR) framework . The CFIIn line with the adopted analytical framework , we purpBetween June and September 2020, we conducted sixteen in-depth interviews (IDIs) with national-level HIV program managers at the Ministry of Health headquarters and five district health officers (DHOs) in Eastern Uganda. We held four IDIs with representatives of PEPFAR implementing organizations. We interviewed twelve HIV clinicians to understand provider-level perspectives on facilitators and barriers to uptake of differentiated HIV treatment models. Table We aimed to understand the perspectives of RoC around trends in the uptake of either community-based or less-intensive facility-based models of care. We sought the collective experiences of RoC as a group rather than as individuals. To this end, we conducted focus group discussions seeking to understand the \u2018demand-side\u2019 dimension of the uWe included RoCs who were eighteen years of age or older. We enrolled RoCs who had been in differentiated HIV treatment models for at least twelve months and had substantial experiences in these models. We conducted five FGDs ensuring that we conducted at least one focus group with patients in each of the five differentiated HIV treatment models currently in implementation in Uganda. We had twelve participants in each of our five focus groups (sixty participants). The focus groups were conducted by the first author who was assisted by two research assistants who took notes during the proceedings and operated the recorder. The focus groups were mostly conducted in English but also in Lusoga, the local language spoken at participating facilities in East-central Uganda depending on participants\u2019 fluency in either language. We purposively sampled ROC from East-Central Uganda because it was one of the first regions in Uganda to roll-out DSD models at routine points-of-care. ROC in this part of Uganda were deemed to have substantial experience of HIV care under the varied DSD models models. East-central Uganda is a largely rural and the majority depend on subsistence agriculture for their livelihoods. We selected ROC from Jinja Regional Referral Hospital. The HIV clinic is a stand-alone unit within the larger hospital complex. Jinja is 87\u00a0km East of the Ugandan capital of Kampala. The majority of ROC hail from neighboring rural districts and derive a livelihood from subsistence agriculture.An established strength of case studies is the reliance on multiple data collection approaches \u201323. To tProcess of implementation, characteristics of the intervention, Inner setting, Outer setting, Individuals). Hence, we used a hybrid model of inductive and deductive theme development National-level informants were emphatic in relaying the notion that Uganda was an \u2018early adopter\u2019 of DSD. To demonstrate this point, national-level HIV program managers reported that Uganda adopted WHO\u2019s 2016 global guidelines on DSD in the same year they were released. In 2016, a Technical Working Group (TWG) on DSD was constituted at the Ministry of Health headquarters with a broad membership that co-opted civil society groups representing patient interests. The brief of the TWG was to scrutinize WHO\u2019s global guidelines and develop national DSD guidelines that were context-specific to Uganda and defined which DSD models were feasible to implement given the operational context in the country. Uganda updated its overall national ART treatment guidelines in 2016 to incorporate differentiated HIV services.In 2017, with external support from PEPFAR, national DSD implementation guidelines were unveiled to guide roll out at 474 pilot high-volume HIV clinics in 2018, with countrywide roll-out through 2019. These implementation guidelines provided for two community-based models and three facility-based models. The implementation guidelines also provided a detailed \u2018roadmap\u2019 for adopting differentiated HIV treatment services and delivery mechanisms, including patient \u2018differentiation\u2019 clarifying which patients were eligible for which models and the formation of facility-level DSD committees.\u2018One of the facilitators of adoption of evidence on DSD was about engaging with recipients of HIV care and their leaders. We have tried to engage patients all the way from policy to program implementation. Patients were represented on the Technical Working Group which domesticated WHO\u2019s 2016 guidelines to our context. Stakeholder engagement has been key. Patients through their leaders give us feedback as the Ministry of Health. How can we do this better? What are the voices of the people (patients)? They actually tell us\u2019. [National-level HIV program manager]A salient feature of DSD adoption and implementation in Uganda was the protracted involvement of recipients of HIV care in the design and roll-out of Uganda\u2019s five DSD models which enhanced client uptake of these innovations in HIV treatment delivery. Patients were involved right from the inception with their representation on the national DSD Technical Working Group at the Ministry of Health in 2016, in the development of national implementation guidelines in June 2017, and their involvement in on-site evaluations of the quality of DSD services offered at pilot sites in Uganda.\u2018We have disseminated these (DSD) guidelines at different levels from the national, regional, up to the facility levels and I know that one or two people received those guidelines at each of the levels\u2019 [National-level HIV program manager]Beyond development of national DSD implementation guidelines, national-level HIV program managers indicated that dissemination of the approved guidelines was fundamental in moving from policy to routine practice. With funding from PEPFAR they were able to conduct multiple planning meetings for national roll-out of DSD between 2017 and 2018 at the national-level with HIV services managers of public and private providers. At the sub-national level, regionally-based PEPFAR implementing organizations were mandated to spearhead roll out at the level of districts given Uganda\u2019s decentralized health system set up whereby overall responsibility for social services provision has been devolved to sub-national units.Recipients of HIV care were involved in providing feedback on pilot DSD services. Patient leaders have been engaged in support supervision of DSD at the facility-level to ensure that quality is offered and implementation is aligned with policy and intervention design [National-level HIV program manager]Between 2017 and 2019, Uganda embarked on an ambitious programme of health worker (HW) training in DSD delivery. These trainings were mainly conducted at sub-national level where regional trainings were convened, and facility-level HIV clinicians were invited. At these meetings clinicians were sensitized on national DSD implementation guidelines of 2017 such as selecting a DSD focal person at each facility and offered practical trainings in aspects such as patient differentiation selecting patients who were stable on treatment and assigning them to less-intensive models such those who could access their refills in the community. In addition, on-site supervisions were conducted as part of the evaluations of differentiated HIV treatment services.\u2018We have one of the oldest HIV treatment programmes in Africa. We have been doing HIV programming since 2004. Uganda is one of the countries I think that is at the forefront of implementing DSD and I would like to say that several countries are flying into Uganda to see how Uganda is doing DSD. We were one of the first countries to implement this and we are learning by doing.\u2019 [National-level HIV program manager]Our analysis reveals that country context is relevant in understanding early policy adoption of evidence on DSD. Uganda has a generalized HIV epidemic and has one of the greatest HIV burdens in Eastern and Southern Africa . Uganda\u2019\u2018We were already doing differentiated HIV care in Uganda even before the term was coined as DSD but as a country, we did not have a systematic way of implementing these innovations in HIV care. What made policy adoption of DSD easier in Uganda is that we were already implementing these innovations such as appointment spacing long before they were baptized as such. The fact is that DSD is not new, and what is new is the nomenclature. Uganda is one of the countries that is a leader in implementing DSD and I would like to say that several countries are flying into Uganda to see how Uganda is doing DSD. We have tried to engage all the way from policy development to implementation\u2019 [National-level HIV program manager].Our interviews with national-level HIV program managers revealed that an important enabler of policy transfer between international and national levels of DSD for HIV treatment in Uganda was the country\u2019s long-standing experience of implementing innovations in HIV treatment services due to its high HIV burden, the associated challenges of overcrowding at routine points of care within an overburdened health system. Participants frequently mentioned that Uganda had a head start in implementing adaptations to traditional HIV service delivery models given its decades-old experience of attempts at mitigating health system constraints in the face of escalating demand for HIV treatment.\u2018In Uganda we were already doing longer appointment spacing for stable patients many years ago. In fact, some of the evidence underpinning DSD came from Uganda. Some providers like TASO piloted these models for many years before WHO endorsed them in 2016. For us as TASO, it has been a walk over because before the DSD models started we had already started implementing them. So it has just been a revision. Already our clients are well versed and they know what to do and also our health workers are fully trained\u2019 It emerged that some of the evidence underpinning WHO\u2019s global guidelines on differentiated HIV treatment services derived from Uganda\u2019s experience as a facilitator of programmatic uptake. Some private providers in Uganda such as The AIDS Support Organization (TASO) were already implementing innovations such as community drug distribution points (CDDP) and Fast Track Drug Refills (FTDR) before the models were formally endorsed by the WHO in 2016. Participants revealed that uptake of DSD was enhanced by Uganda\u2019s participation in pilot studies assessing patient outcomes on less-intensive HIV care models for the clinically stable.In March 2020, Uganda announced Covid-19 \u2018lockdown\u2019 measures that included a ban on public and private transport. This effectively impeded facility-based access to drug refills for the 1.4 million Ugandans enrolled on HIV treatment across the country. In response, the Ministry of Health swiftly announced emergency policy guidelines for enabling access to HIV medication refills during lockdown restrictions. The policy measures entailed an aggressive expansion of decentralized medication refill deliveries at outreach sites within the community . The gui\u2018CDDP was a model that was especially helpful during Covid-19 lockdown. What made life simple for us in TASO is that we had started DSD models much earlier and it made life easy for clients because the health workers meet clients at the community distribution points (CDDP) venue; where they were picking their drugs. At TASO, we have been doing multi month dispensing for stable clients. We have now drugs to give them for six months for stable clients and three months for unstable clientsOn their part, a range of providers such as TASO leveraged existing community-based models of service delivery such as the CDDP model, which was scaled-up to maintain continuity in access to refills.\u2018Covid-19 came in as an advantage. We would do home-to-home drug delivery so we took the drugs to their homes. For those we were unable access in their homes we could make an arrangement for them to be in a nearby place in their community. .There was accelerated implementation of home-based HIV medication refills delivery. Not-for-profit providers such as TASO mobilized vehicle fleets for distribution of refills on patients\u2019 homes deep within quite remote rural communities.\u2018We engaged our regional implementing partner (RHITES- E) and they were kind enough to offer some vehicles and we used them to reach people in their communities where they were stuck due to bans on public and private transport. We took medicine to about 2,000 people to some designated outreach points in the community by bolstering and strengthening our CDDP (community drug distribution points) model. We did this with the aid of a mobile brigade of health workers\u2019 .At sub-national level, district health teams sourced funding from regionally-based PEPFAR implementing organizations in Eastern Uganda for mobilizing vehicle fleets and fuel for distributing medication refills at designated points in the community.In several PEPFAR \u2018focus countries\u2019, including Uganda, PEPFAR seconded Technical Advisors to Ministry of Health headquarters to spearhead country wide roll-out of DSD. PEPFAR typically provides salary support to key officials at the Ministry of Health headquarters with governance mandates for HIV epidemic control and for whom PEPFAR targets such as domesticating DSD evidence in national policies is key programmatic target . Hence, \u2018PEPFAR has been consistent in prioritizing the uptake of differentiated HIV services in Uganda. PEPFAR has provided millions of dollars in annual HIV programming budgets for Uganda for more than five years. PEPFAR strongly believes in the potential of DSD in reducing burdens on overwhelmed health systems and in improving the quality of HIV care\u2019 .In-depth interviews with national-level HIV program managers in Uganda revealed the nature of donor support they received from PEPFAR for policy adoption of differentiated HIV care besides annual program budgets and targets described in the PEPFAR Country Operational Plans (COP) from 2018\u20132021.Participants reported that PEPFAR provided program funding for convening Technical Working Groups at the Uganda Ministry of Health headquarters with the aim of scrutinizing WHO\u2019s 2016 landmark global HIV treatment guidelines with a view to domesticating them in Uganda\u2019s national ART treatment guidelines. National-level HIV program managers reported that they assessed the WHO\u2019S 2016 guidelines on DSD roll-out and teased out components that were contextually relevant and feasible to implement in Uganda. At sub-national level, PEPFAR provided multi-year funding and programmatic targets to its regionally-based implementing organizations to spear head DSD roll out at district level \u201351.Documentary evidence further revealed that besides PEPFAR support, Uganda benefited from substantial philanthropic aid from the Bill & Melinda Gates Foundation for policy adoption of DSD through Columbia University\u2019 CQUIN entailing a multi-country \u2018community of practice\u2019 of more than eleven countries in Eastern and Southern Africa . ThroughGates Foundation support also included tracking progress on programmatic adoption of DSD through specified metrics for assessing progress on programmatic uptake of DSD evidence via a \u2018dashboard\u2019 for measuring progress on DSD implementation. The dashboard assesses the maturity of national DSD programs and overall uptake based on thirteen domains that included presence of a scale-up plan, policies in place, community engagement and training of health workers .\u2018First of all, I fear rumor-mongering amongst members in these patient groups. I imagine going back in my neighborhood and finding my group member gossiping about me in the village and telling everyone about how I am HIV positive. It was not easy for me to join a (CCLAD) group because I don\u2019t want people to gossip about me in the village\u2019 .Overall, patients indicated a preference for facility-based DSD models due to a desire for privacy and avoidance of inadvertent HIV sero-status disclosure. In the focus groups, patients appreciated the convenience that accrues from some models such as Fast Track Drug Refill (FTDR) which entails visits to facilities that are freed from clinical reviews for stable patients. In addition, patients extoled the benefits that accrue from regular visits to facilities such as comprehensive medical care in the event of opportunistic infections which they perceived as difficult to track when one is enrolled in less-intensive HIV care models. Patients indicated that HIV-related stigma was a fundamental barrier to enrollment in community-based models.\u2018We have some community-based models that are expensive such as community drug distribution points (CDDPs) because we have transport costs borne by the facility. I think that the most practical DSD models remain the facility \u2013based ones. It is not sustainable going to these communities. You are able to deliver these medicines in communities now just because there is external donor funding but time is going to come when there is no funding\u2019 .At the provider-level, HIV clinicians offered explanatory insights into understanding the variable uptake of DSD models in Uganda, particularly the lag in adoption of community-based models despite a heightened interest during Covid-19 lockdown restrictions. It emerged that select community-based ART delivery models such CDDPs were perceived as relatively expensive to operate in terms of the required operational expenses such as with regard to the needed vehicle fleets and fuel for transporting medication refills to outreach sites deep inside rural communities , 28. Thi\u2018I wish to highlight the issue of HIV-related stigma, I think that as we plan on implementing community -based models of care, it is incumbent upon us to regard stigma as a key challenge which still exists in our communities. The few on-site support supervisions that I have conducted around the uptake of DSD is we found that clients actually prefer facility-based HIV care. The do not like community models because of stigma\u2019 .National-level HIV program managers in Uganda also revealed that HIV-related stigma is a fundamental impediment in the roll-out of community-based HIV treatment models which could provide further contextual insight into understanding the relatively low uptake of community models.\u2018WHO goes through a series of processes and one of them is looking at evidence. Evidence was collected from different countries such as South Africa, Malawi and Zambia. By the time it is put into a global treatment guideline it implied that WHO was confident that DSD was evidence-based. You know it is backed by science. So already there has been demonstration that these models actually work and which is why we selected certain models that work well in our setting\u2019 [ National-level HIV program manager].There was broad consensus across participants that differentiated HIV treatment models were evidence-based which they regarded as a facilitator of acceptance among providers. Uganda\u2019s participation in the clinical trials and the broader evidence that underpinned WHO\u2019s 2016 global treatment guidelines was frequently cited as an enabler of programmatic uptake. WHO\u2019s formal endorsement of DSD was perceived by national-level HIV program managers as affirmation that the endorsement was informed by rigorous processes.Representatives of providers, such as from TASO, indicated that they had piloted some community-based models including the community drug distribution model prior its policy adoption in global and national treatment guidelines. Other not-for-profit providers indicated that they had experimented with models, particularly that of appointment spacing even before it was formally adapted by the WHO in 2016 and that from their operational experience, patient outcomes were not inferior to standard care.\u2018Basically, I was overburdened by the heavy expenditure on transport to come to the(HIV) clinic every month and the long distance from my home. I often came late to the clinic and it was always overcrowded. When they said we could form patient groups (CCLAD), I got six of my colleagues and we formed a group. We now share transport costs and alternate in picking our medication refills so that we don\u2019t get tired of coming to clinic\u2019 .Right from the outset, the design of DSD models was meant to be tailored to the preferences of individual patients and this was identified as an enabler of model uptake in Uganda. Recipients of HIV care in rural settings expressed satisfaction and preference for less-intensive HIV treatment models that resulted in savings in transport and time off work. The demand for community-based models was particularly strong for PLHIV who are based in rural settings who would otherwise have to make monthly trips to urban centres to collect medication refills.\u2018Patients are aware of community models but the majority have internalized stigma. They fear they think their colleagues will gossip about them in their neighborhoods so some people decide not to join the groups. Personally I prefer to come to the facility and pick my drugs. I spend less than ten minutes yet I used to spend the whole day. Now I have ample time to go and man my business\u2019 .On the other hand, patients in urban settings revealed preference for facility-based models particularly the Fast Track Drug Refill (FTDR) model which offered them better privacy and convenience.Utilizing the CFIR framework\u2019s five domains, we explore factors contributing to early adoption of evidence on differentiated HIV treatment services in Uganda. These include a decades-old HIV intervention implementation experience, having a high HIV burden which prompted innovations in HIV treatment delivery, receiving substantial external aid and technical support for policy uptake, protracted engagement of patients in policy planning and program implementation, accelerated uptake of community-based models owing to Covid-19 \u2018lockdown\u2019 restrictions and the perceived effectiveness of DSD models due to participation in the clinical trials that underpin WHO guidance on DSD.Although a few of the emergent factors are context-specific to Uganda, such as its long HIV programming experience, our findings provide valuable implementation research lessons on the processes involved in policy adoption of DSD especially in countries with a high HIV burden. These lessons include the key role of Technical Working Groups in domesticating global guidelines and fleshing out national DSD implementation guidelines, and implementation strategies including high-level health ministry buy-in, protracted patient engagement to enhance model uptake, and devising metrics for measuring DSD uptake progress in programmatic adoption. Our findings provide empirical insight into understanding variations in programmatic uptake of WHO guidelines on differentiated HIV treatment services which have been identified by multiple studies , 6, 9 anhow and why substantial variations in DSD uptake across the globe persist despite the wide dissemination of WHO\u2019s landmark 2016 guidelines on how to domesticate this evidence in the national policies of member countries [Previous studies have identified implementation barriers in the national scale-up of differentiated HIV services in countries that include South Africa , Uganda Our case study sheds light on the impact of the Covid-19 pandemic on the accelerated uptake of differentiated HIV care models, and their adaptation in light of \u2018lockdown\u2019 measures. Grimsrud and colleagues have highlighted the imperative of the Covid-19 in the accelerated adoption of especially community-based ART delivery models , 14. StuIn this case study we highlight the role of international assistance in the early adoption of DSD in Uganda. Although a previous analysis by Carbaugh and colleagues found thSeveral studies have already reported patient preferences for facility-based HIV care over community based platforms \u201359. A raThe CFIR framework was helpful in unraveling, especially, the outer setting and inner context drivers of Uganda\u2019s early adoption of differentiated HIV treatment services which afforded us a well-rounded perspective on programmatic uptake of DSD from a multi-level analysis lens; at the different levels of the Ugandan health system such as at the meso or national level, at the sub-national level, at the meso or provider level and at the individual level of patients. In our assessment, some identified drivers, such as Covid-19 lockdown imperatives for accelerated uptake of community models in Uganda, was an attribute that cut across two CFIR \u2018domains\u2019 of both inner and outer contexts and that there appeared to be some dynamic interactions in the five CFIR domains such as in the latter case . RelatedThis study had limitations which we wish to acknowledge. We conducted a cross-sectional study where we collected data at one-time point. Perhaps, a longitudinal case study could have been more insightful. Additionally, we did not interview PEPFAR officials at the global level who set donor funding policy for PEPFAR-supported countries across the world which would have yielded a global lens on PEPFAR\u2019s push for policy adoption of DSD in high burden countries. This study has some strengths. These include multi-stakeholder perspectives at different levels of the Ugandan health system such as national-level HIV program managers, sub-national level health system actors, representatives of external donors and community engagement component entailing patient voices. We contribute a country case study that helps in understanding the uneven uptake of these novel HIV service delivery approaches across the globe by identifying the drivers of programmatic uptake from the CFIR lens of \u2018inner context\u2019 and \u2018outer context\u2019.Using the CFIR, we have identified facilitators of early adoption of DSD arising from inner context and outer setting factors in Uganda. Our case study of Uganda contributes implementation research lessons on pragmatic strategies for promoting programmatic uptake of differentiated treatment HIV services in other countries with a high HIV burden particularly those in resource-limited settings."}
+{"text": "Meta-analyses can be a powerful tool but need to calibrate potential unrepresentativeness of the included trials to a target population. Estimating target population average treatment effects (TATE) in meta-analyses is important to understand how treatments perform in well-defined target populations. This study estimated TATE of paliperidone palmitate in patients with schizophrenia using meta-analysis with individual patient trial data and target population data.We conducted a meta-analysis with data from four randomized clinical trials and target population data from the Clinical Antipsychotic Trials of Intervention Effectiveness (CATIE) study. Efficacy was measured using the Positive and Negative Syndrome Scale (PANSS). Weights to equate the trial participants and target population were calculated by comparing baseline characteristics between the trials and CATIE. A calibrated weighted meta-analysis with random effects was performed to estimate the TATE of paliperidone compared to placebo.A total of 1,738 patients were included in the meta-analysis along with 1,458 patients in CATIE. After weighting, the covariate distributions of the trial participants and target population were similar. Compared to placebo, paliperidone palmitate was associated with a significant reduction of the PANSS total score under both unweighted and calibrated weighted meta-analysis.The effect of paliperidone palmitate compared with placebo is slightly smaller in the target population than that estimated directly from the unweighted meta-analysis. Representativeness of samples of trials included in a meta-analysis to a target population should be assessed and incorporated properly to obtain the most reliable evidence of treatment effects in target populations.The online version contains supplementary material available at 10.1186/s12874-023-01958-w. Randomized controlled trials (RCTs) and meta-analyses based on these RCTs are the cornerstone of evidence-based clinical practice. While attention to internal validity of this evidence is critical, there is growing concern regarding a lack of external validity due to significant differences between the composition of participants of RCTs and the target populations \u20137. Concetarget population average treatment effect (TATE) [Disseminating and implementing findings of RCTs to a target population for routine care is important for clinical practice guidelines, cost-effectiveness research, and health-policy decision making. This population-based inference requires understanding generalizability of RCTs and correct estimation of an average treatment effect in the target population, denoted by t (TATE) , 13. HowMeta-analysis is often viewed as a way to approach the \u201ctrue\u201d effect of a treatment of interest because it combines information from multiple studies . HoweverWith the growing trend in availability and use of individual-participant data (IPD) and availability of administrative data on target patient populations in usual care settings, it is now possible to take the composition of RCT samples into account and to adjust for their deviation from the target population. The estimates of TATEs in meta-analyses using IPD can be made more generalizable by strategically utilizing external target population data and assessing and adjusting the level of representativeness of RCTs , 23. In In this paper, we conducted such a calibrated meta-analysis using IPD from four paliperidone RCTs and with a external data source on a well-characterized target population sample. These RCTs studied the efficacy of paliperidone palmitate , a long-For the meta-analysis, eligible studies were phase III double-blind RCTs that studied the efficacy of paliperidone palmitate compared to placebo for treatment of schizophrenia and in which IPD were available. We searched trials in the Yale University Open Data Access (YODA) Project and identarget population as adults suffering from schizophrenia in usual care settings in the United States. To obtain data on the target population we used patients in the Clinical Antipsychotic Trials of Intervention Effectiveness (CATIE) study [We defined the E) study . CATIE wSchizophrenia symptoms were measured based on the Positive and Negative Syndrome Scale (PANSS) total score, the sum of 30 items of which each ranges from 1 (absent) to 7 (extreme psychopathology) to assess various symptoms of schizophrenia . The PANWe considered a total of 6 baseline covariates that were reported in the 4 RCTs and CATIE and could be potential effect modifiers: sex, race , age in years between each RCT and the target population. Unmeasured effect moderators may lead to unreliable TATE estimates.To obtain accurate TATE estimates, two key assumptions are required . First, We also carried out a random-effects meta-analysis using unweighted outcomes and compared the results. In addition, we conducted a subgroup analysis including only RCT patients from North America as a sensitive analysis. All analyses were executed using R version 3.6.3 .A total of 1,738 patients were included in the meta-analysis along with 1,458 patients in CATIE. Table Figure\u00a0Figure\u00a0Table SGeneralizing results from meta-analysis of RCTs to a target population is not guaranteed without thorough assessment of the representativeness of RCTs included in the meta-analysis followed by proper calibration of the RCT samples. We introduced a calibrated meta-analysis approach to estimate target population average treatment effects and applied it to a meta-analysis of RCTs comparing paliperidone palmitate and placebo for treating patients with schizophrenia. By weighting patients in the RCTs, we made the weighted RCT samples more similar to the target population, represented by the CATIE sample. Our results showed that paliperidone palmitate was significantly more effective in reducing the PANSS total score than placebo under both unweighted and calibrated meta-analyses. However, the estimated TATE of paliperidone palmitate in calibrated analysis was smaller than the effect estimated from the unweighted meta-analysis, though the 95% confidence intervals overlapped, yielding unchanged conclusions regarding the treatment efficacy.Our results reproduced the results from recently published two meta-analyses , 21. KisOur findings support that RCT samples and a target population may differ substantially on covariates , which may result in the effect estimates from an unweighted meta-analysis to deviate from what would be seen in the population. That is, treatment effects in RCTs samples and the target population may differ when the distributions of effect moderators differ between the samples. If there is no effect heterogeneity (no effect moderation) then RCTs and meta-analyses of RCTs will yield accurate inferences about population effects, though this rarely happens in practice \u201344. The Current practice guidelines for treatment of mental disorders, such as the recent practice guidelines for treatment of schizophrenia published by the American Psychiatric Association are baseThe standardized mean difference between each RCT and the target population was used to assess representativeness of the RCTs after weighting. The imbalance between RCTs and CATIE samples was improved dramatically for most baseline features except PANSS and patient weight\u2014likely because the RCT participants tended to have more severe symptoms than those in CATIE. The imbalance in weight may be related to national differences in average weight\u2014the CATIE sample was drawn only from the United States; whereas the paliperidone RCTs also included participants from countries in Europe and Asia. Although the distributions of PANSS and weight between RCTs and CATIE were not perfectly similar in unweighted comparisons, there was considerable overlap in the distributions between the RCTs and CATIE, which meant that weighting could successfully improve the covariate balance. If there is no or little overlap of the distributions of effect moderators between the RCTs and target population , statistical approaches may not estimate population treatment effects well because of the inherent extrapolation that will be required. The positivity violation cannot be formally tested, but it can be assessed by comparing distributions of baseline characteristics between RCTs and CATIE.The weighting method used in the calibrated meta-analysis resulted in more similar samples between CATIE and RCTs, though it did not achieve fully equivalent samples. This may be due to some of the exclusion criteria applied to RCTs , and statistical analyses cannot solve fundamentally large differences between groups\u2014if the trials really do not represent the target population then statistical methods cannot fully help. That said, the weighting approach helps make the combination of trials as similar to the population as possible, and so even though the distributions are not fully similar to CATIE the calibrated meta-analysis results do better reflect what we expect the TATE would be in the CATIE population.This analysis has several limitations. First, we chose CATIE to represent the target population because it was among the best sources for providing data on the target population of patients receiving treatment for schizophrenia in a wide range of usual care settings in the United States. Furthermore, CATIE collected a broad range of demographic and clinical data from a large sample of diverse participants. However, target populations for future studies may be drawn from administrative data sources such as electronic health records or claims data and the results may differ by the choice of target population. This is a challenge of the calibrated meta-analysis as it depends on availability of truly representative target population samples along with individual patient RCT data\u2014and consistent measurement of baseline characteristics between the two. Note that we had to use the coarsest category for age, age at onset, and weight variables in our analysis because several RCTs included in our meta-analysis did not have consistent continuous measures for those variables. Even when such data do exist, gaining access to the data remains a challenge. We hope that the current emerging movement of data sharing and data harmonization can resolve this challenge , 50.Second, the participation scores and weights help balance the paliperidone RCTs and CATIE with respect to the observed covariates, but are not able to adjust for potential unobserved moderators. This is related to our results about the outstanding differences in treatment effect estimates between the unweighted and weighted analyses in NCT00590577. Knowing that the difference between NCT00590577 and CATIE is comparable with the differences between other RCTs and CATIE, this finding might be due to unobserved covariates that should have been adjusted for. When estimating TATEs is of primary interest, it is important to understand potential effect moderators in advance and collect the relevant information systematically and consistently across RCTs and target population data sources. In addition, further methodological research is required to handle unobserved effect moderators in calibrated meta-analysis.In this study, we sought relatively large RCTs of a single medication treatment of schizophrenia conducted about the same time and using the same outcome measure (PANSS) as the CATIE trial (which represents the target population of interest). The identified paliperidone RCTs were conducted within a 5-year window (2003\u20132008), a time window that overlapped with CATIE\u2019s timeframe (2000\u20132004). Focusing on a single medication and restricted time period reduces variations in outcomes and changes in population composition due to these factors. In addition, the methods examined could easily be used in other application areas \u2013 we are using the schizophrenia context here as a motivating example. Our methods can be used to examine generalizability for other disease conditions and treatments as well.This paper focuses on how the TATE results are interpreted and implemented in clinical practice using a simple but widely-accepted method. However, multiple weighting methods are available, including flexible models such as generalized boosted model and, BayRepresentativeness of samples of trials included in a meta-analysis to a target population should be assessed and incorporated properly to obtain the most reliable evidence of treatment effects in target populations. Calibrated meta-analysis, which integrates RCTs and population data, can be a powerful technique to estimate target population average treatment effects and draw population-level inferences. We recommend that when external data from target populations are available, these data be used to calibrate RCT samples and that future IPD meta-analyses be based on these calibrated RCT data.Additional file 1:\u00a0Table S1. Key eligibility criteria and references for included studies.\u00a0Table S2.\u00a0Absolute Standardized mean differences of baseline covariates between each RCT and CATIE before weighting and after weighting in parentheses.\u00a0Table S3.\u00a0Mean difference of change in PANSS total score between paliperidone palmitate and placebo and 95% confidence intervals from all meta-analyses including secondary and sensitivity ones."}
+{"text": "Tubulinopathies are a wide family of neurological disorders caused by mutations in genes encoding tubulins, the structural units of microtubules. They represent a growing class of pathologies for which no therapies are currently available.More than 255 tubulin mutations have been reported so far and with malformations of cortical development (MCDs) as well as post translational modifications (PTMs) of tubulins in normal and pathological conditions .Hoff et al. highlight how deepening our knowledge on the interaction between tubulins, microtubules and MAPs can better predict the effects of tubulin mutations. The authors offer a description of tubulin structural dynamics and MAPs, and explain how microtubules and MAPs regulate critical steps of neurodevelopment. They further discuss how tubulin mutations can cause tubulinopathies by altering interactions between microtubules and their regulators or by impairing microtubule dynamics. M\u00fcller, Ringer et al. demonstrate that the balance of tyrosinated and detyrosinated microtubules finely regulates cell shape and adhesion in both D2 epithelial cell cultures and D3 intestinal organoids. The authors also propose that TTL has a central role in regulating the assembly of focal adhesion since its depletion prolonged the persistence of vinculin at these sites and its binding efficiency to different focal adhesion adapters.By modulating the expression of tubulin tyrosine ligase (TTL), the enzyme that catalyzes the post-translational addition of tyrosine to the detyrosinated end of \u03b1-tubulin, M\u00fcller, Gorek et al.). Dysregulation of tubulin PTMs occur in a wide range of brain disorders of patients affected by Spastin (SPAST)-associated hereditary spastic paraplegia (HSP), exhibit reduced levels of acetylated \u03b1-tubulin, thus reflecting the pathological reduction of acetylated \u03b1-tubulin previously observed in patient-derived neuronal cells (Wali et al., in vitro treatment and in mouse brain following in vivo administration. The authors thus propose that PBMCs of SPAST-related HSP patients may represent a suitable in vitro model to study the pathology and the measurement of acetylated tubulin a tool to quantify the treatment effects of noscapine. A schematic representation of microtubule complexity and microtubule related diseases is shown in We hope that this Research Topic will help to better understand the complex network of microtubule functions and regulations, to understand how the latter act at the cellular and sub-cellular levels, and how they are differentially affected by tubulin mutations.In addition, we hope that the Research Topic will foster further functional and genetic studies on microtubule function and dysfunction in neurons to expand the mutational and phenotypic spectrum of tubulinopathies. These efforts will be key to design innovative microtubule-based interventions for the treatment of tubulinopathies.AS: Writing\u2014original draft. EB: Writing\u2014review and editing. GH: Writing\u2014review and editing."}
+{"text": "Soon after, the approved labeling was adjusted to direct treatment to mild cognitive impairment (MCI) due to Alzheimer\u2019s disease (AD) and mild AD dementia reflecting the severity of cognitive impairment among participants in the clinical trials that led to the approval if they participate in an approved insurance plan. Most people pay a monthly fee for this benefit. When a new agent becomes available it may be subject to a National Coverage Determination (NCD) to ascertain if CMS will pay for the drug and under what circumstances. CMS covers drugs that are considered \u201creasonable and necessary\u201d for the treatment of an illness. The covered treatment must be shown to meaningfully improve health outcomes. The NCD process can lead to approval of coverage, denial for coverage, or limited coverage .https://www.cms.gov/medicare-coverage-database/search.aspx).On January 11, 2022, Medicare Issued its draft NCD on Coverage with Evidence Development (CED) for aducanumab which limits coverage to patients participating in CMS-approved randomized controlled clinical trials supported by the US National Institutes of Health (NIH) . This deAducanumab is an anti-amyloid IgG1 monoclonal antibody (mAb) directed to the N-terminus of the amyloid beta peptide (A\u00df) occurring in aggregates . NonclinThe first clinical trial of aducanumab was the PRIME study, a Phase 1B dose-finding trial . ParticiOn the basis of the PRIME observations, two identical Phase 3 trials --- ENGAGE and EMERGE --- with 1643 planned participants each were launched . ParticiThe 22% slowing on the primary outcome has been challenged as inappropriately small to warrant the treatment. Slowing by this amount translates to approximately one additional year in the typical 5-year period in the MCI stage of AD prior to entering the terminal dementia phase of the illness; patients should be empowered to decide if this degree of slowing is desirable for them.ARIA of the effusion type (ARIA-E) and of the hemorrhagic type (ARIA-H) were observed in trials of aducanumab , 7. In pThe irregular aspects of the trials of aducanumab with premature termination suggest caution in interpreting the results. The consistent pharmacodynamic relationships among dose, duration, amyloid lowering, and slowing of clinical decline (as seen on the CDR-SB) support the efficacy of aducanumab. The effect on \u201cdownstream\u201d biomarkers associated with cognitive decline in many studies is additional evidence of the impact of aducanumab on the biology of AD and disease modification . An effiAducanumab was approved by the FDA using the regulatory mechanism of accelerated approval. This approval pathway was used for 14 of 50 (28%) approvals by the FDA in 2021 and is commonly used for cancer therapies . AccelerReduction of amyloid plaques as shown on amyloid PET is the biomarker on which accelerated approval was based. Plaque reduction is not a fully validated surrogate and there is a lack of consensus on the predictive value of plaque removal. There have been many failures of anti-amyloid therapies suggesting that approval based on anti-amyloid effects does not have an adequate scientific rationale . Nearly Accelerated approval is intended to make drugs available to patients with life-threatening diseases such as AD while additional evidence to confirm efficacy and safety is generated. The decision of CMS to limit aducanumab to clinical trials is at variance with the purpose of this approach and inconsistent with the intent of the FDA to provide a mechanism for accelerated access to aducanumab for appropriate patients.In their draft determination, CMS proposed to cover FDA approved mAbs directed against plaque amyloid for the treatment of AD under a Coverage with Evidence Development (CED) approach limiting coverage of mAbs to patients participating in CMS-approved randomized controlled trials supported by the NIH . All triThis approach is not patient-centered and will greatly delay access to treatment for individuals with early AD. This proposed determination is predicted to reduce interest in treatment development when the increasing population of those with and at risk for AD requires innovative solutions for their cognitive and functional impairment.Requiring that aducanumab be studied in clinical trials conducted in a hospital setting greatly limits the number of patients with early AD who could receive treatment with coverage. Proposed trials are likely to be placebo-controlled . In placebo-controlled trials, patients seeking treatment must agree to be randomized to drug or placebo to have a chance of receiving therapy. Severely limiting access to an approved therapy in this way is coercive.Requiring that the trial be funded by NIH attaches additional limits to the availability of treatment. NIH funding is directed mostly to trial sites associated with academic medical centers restricting access to therapy to those living in nearby areas. Academic trials sites are rarely in minority neighborhoods and are not situated to allow recruitment of rural populations . NIH funding for trials is less than that invested by pharmaceutical companies and recruiting an adequate number of participants to adequately power a trial to demonstrate benefit may be difficult if not impossible. Funding by NIH is subject to extensive peer review on scheduled review cycles. Trials as proposed by CMS would require 1\u20132 years to secure funding plus 3\u20135 years to conduct and analyze, delaying the availability of an approved treatment that could be available NOW. NIH funding has been instrumental in supporting Phase 2 proof-of-concept and dose-finding studies; it has rarely been used for trials of the type proposed by CMS that more closely resemble Phase 3 trials .CMS requires that approved trials must determine if treatment with an anti-amyloid mAb results in a statistically significant and meaningful reduction in decline in cognition and function. CMS chose the CDR-SB to exemplify what constitutes a clinically meaningful improvement as a primary outcome. To define minimal clinically important differences they suggest a 1\u20132 point increase in CDR-SB, plus a 1\u20133 point decrease in MMSE and 3\u20135 point increase in Functional Activities Questionnaire (FAQ) . The popThe CMS proposal does not state how many trials with meaningful results are required to support coverage although the proposed decision memo refers to \u201ctrials.\u201d The expected relationship of results from different trials or the required consistency of outcomes is not discussed.Noting the lack of diversity in previous trials, the higher prevalence of AD in Black and non-White Americans, and the directives in Executive Order 13985, Advancing Racial Equity and Support for Underserved Communities through the Federal Government, CMS proposes requiring that the patients included in each trial be representative of the national population diagnosed with AD. This is a noble aspiration. It is also an unrealistic expectation given the known challenges in recruiting underrepresented and underserved populations to trials. We must improve inclusion of diverse populations in trials; this is a long-term goal requiring trial infrastructure not currently available and trust that has not been built. Requiring a representative sample in the CMS trial will delay the trial and limit the availability of drug treatment to both minority and majority culture patients. The mandate ignores other underserved populations such as those dwelling in rural areas who have essentially no opportunity to reach trial sites and treatment in a trial.Aducanumab is approved and can be purchased through self-pay mechanisms independent of coverage by CMS. Limitation of treatment coverage to those in trials means that persons in limited financial circumstances will have limited access to therapy while those with financial means will have access to treatment. CMS requirements will increase the lack of equity in AD care in the US.Unlike participating in an industry-sponsored trial where experimental therapy is provided without cost, CMS typically does not cover the full costs of drugs and a substantial co-payment may be leveraged for aducanumab trial participants. Up to 50 percent of patients in a trial (depending on the use of a placebo and the randomization ratio) may be paying for placebo. These circumstances will further disincentivize trial participation.Together these observations argue against the requirement for a CED comprised of clinical trials to provide coverage for mAbs.CMS expresses concerns about harms to patients that would be treated outside the context of the safety monitoring of a controlled trial. Clinicians agree that the occurrence of ARIA can have serious consequences and must be monitored. In the EMERGE and ENGAGE trials, most ARIA events 72.3%) occurred within the period of the first eight doses (7 months) and vigilance early in the course of therapy is key to safe introduction of aducanumab. Seventy-four percent of those with MRI-proven ARIA had no symptoms. Of the 26 percent who exhibited symptoms, most had headache with fewer having confusion, dizziness, or nausea findings suggesting the patient may not be a good candidate for aducanumab, provide guidance for optimal timing of MRI to detect ARIA, and discuss ARIA management strategies when the MRI changes of ARIA are detected . As realMonoclonal antibodies directed at amyloid plaques are the first agents to show an effect on the underlying biology of AD and to qualify as disease-modifying therapies. These agents have succeeded where many non-plaque-directed anti-amyloid therapies have failed . They prNot all anti-amyloid mAbs are plaque-lowering. Solanezumab is directed at the monomeric form of A\u00df. It does not lower plaque burden. A Phase 3 trial in mild AD dementia did not meet its primary outcome; it is uncertain if limited efficacy was shown . This mADrug development for AD is a costly and lengthy enterprise requiring extensive financial and time investment . Pharmachttps://www.cms.gov/medicare-coverage-database/search.aspx).CMS concludes the proposed decision memo by stating that the proposal strikes an appropriate balance of providing patient access while also ensuring both protections for patients from harms and the appropriate data collection and analysis to determine whether CMS should undertake an NCD reconsideration . The rec"}
+{"text": "One such example is mediated by Nitric Oxide (NO) in principal neurons of the Medial Nucleus of the Trapezoid Body (MNTB) in the auditory brainstem. These act as relay neurons, receiving excitatory input and transmitting inhibitory signals to the auditory nuclei involved in sound localisation. NO is released here in an activity-dependent manner and switches the basis of action potential (AP) repolarisation from Kt trains . We havev2 conductance leads to improved post-synaptic transmission at high frequencies, while also decreasing the metabolic efficiency of an action potential. The location of Kv2 channels adjacent to Nav channels at the axon initial segment (AIS), as opposed to Kv3, which is located at the soma, is found to be crucial in determining how it affects metabolic efficiency. Figure v conductances [It is observed that increasing Kuctances ."}
+{"text": "Dog-bites and rabies are under-reported in developing countries such as Pakistan and there is a poor understanding of the disease burden. We prospectively collected data utilizing mobile phones for dog-bite and rabies surveillance across nine emergency rooms (ER) in Pakistan, recording patient health-seeking behaviors, access to care and analyzed spatial distribution of cases from Karachi.A total of 6212 dog-bite cases were identified over two years starting in February 2009 with largest number reported from Karachi (59.7%), followed by Peshawar (13.1%) and Hyderabad (11.4%). Severity of dog-bites was assessed using the WHO classification. Forty percent of patients had Category I (least severe) bites, 28.1% had Category II bites and 31.9% had Category III (most severe bites). Patients visiting a large public hospital ER in Karachi were least likely to seek immediate healthcare at non-medical facilities , and had shorter mean travel time to emergency rooms, adjusted for age and gender than patients visiting hospitals in smaller cities. Spatial analysis of dog-bites in Karachi suggested clustering of cases , and increased risk of exposure in particular around Korangi and Malir that are adjacent to the city's largest abattoir in Landhi. The direct cost of operating the mHealth surveillance system was USD 7.15 per dog-bite case reported, or approximately USD 44,408 over two years.Our findings suggest significant differences in access to care and health-seeking behaviors in Pakistan following dog-bites. The distribution of cases in Karachi was suggestive of clustering of cases that could guide targeted disease-control efforts in the city. Mobile phone technologies for health allowed for the operation of a national-level disease reporting and surveillance system at a low cost. Resource constraints prevent adequate surveillance of neglected infectious diseases such as rabies in developing countries leading to a poor understanding of the disease burden and limited evidence with which to design effective control measures. We utilized a low cost mobile-phone based system to carry out the first prospective surveillance of dog-bites and rabies in Pakistan by screening all patients presenting to nine emergency rooms in eight cities over a two-year period. We found a large number of dog-bite cases with substantial geographical variability in time to presentation as well as health-seeking behavior following dog-bites across the reporting sites. Spatial analyses of collected data from Karachi, Pakistan's largest city identified areas with increased risk of dog-bite exposure, which has implications for the design of necessary control measures such as dog vaccination. While mobile phone based technologies have the potential to address limitations in disease surveillance in developing countries, the cost-effectiveness of large scale implementations of such strategies need to be explored and further evaluated where appropriate. Infectious disease surveillance continues to remain challenging in developing countries with resource constraints, weak health systems and poor reporting mechanisms Rabies is a notifiable disease in most developed countries; however, cases are generally underreported in countries like Pakistan and there is a poor understanding of the disease burden The aims of this study were to: 1) estimate the burden of dog-bites in Pakistan; 2) describe the frequency, age and gender distributions and severity of dog-bite cases across the reporting sites; 3) assess differences in patient health-seeking behavior and patient access to care amongst the reporting sites; 4) identify high-risk neighborhoods for dog-bite exposure in Karachi, Pakistan's most populous city; 5) describe implementation costs of the mHealth surveillance system from a health services perspective.Surveillance was carried out from February 2009 to February 2011. Cases were defined as all patients presenting with dog-bites to emergency rooms at enlisted centers and patients with dog-bites referred from other facilities. If dog-bite victims did not seek healthcare, or sought care with traditional healthcare providers and alternative medical centers from where referrals were not made to an enlisted center, those cases would not be reported through our system. In addition, information on some cases was not captured because of refusals to take part in the questionnaire and could not be included.Lay persons with at least 12 years of education were recruited on recommendation of local hospital administrators, and were provided training for the role of \u201cscreener\u201d to implement the study protocols regarding informed consent procedures and phone-based screening. The training emphasized basic research ethics and the necessity of voluntary informed consent. Training was provided onsite for data entry and storage using the mobile phone and included role-play to enable screeners to familiarize themselves with the study tools. The administrative heads of ERs were involved in supervision of screeners and in providing local logistical support. Screeners were provided a monthly stipend of approximately USD 80 per month.Dog-bite cases were approached immediately after initial treatment, introduced to the study and its objectives and consent was requested for an interview. A standardized questionnaire using a mobile phone based application was completed for all consenting patients. The questionnaire was created using the openXdata software package for low-cost mobile devices. OpenXdata is an open source software for service providers and researchers to design and manage forms for data collection using mobile devices and remotely monitor data collection activity in the field. OpenXdata has two components, a web-based server application and openXdata mobile which is installed on low cost phones. We provided a GPS-enabled Nokia 6220 mobile phone (costing USD 250 each) to screeners at each site programmed with forms to collect patient demographics, details about the nature of the bite and geographic location of the incident. A patient's attendants provided history of exposure and treatment in cases where rabies was suspected and the patient was incapable of responding. The use of openXdata allowed for predefined validation checks as data was being entered into the phone, and eliminated the use of paper forms other than for consent. Date and time stamps were automatically recorded along with GPS coordinates each morning immediately outside the site to monitor the screeners attendance at the hospital. All data entered via mobile phones was uploaded on to the centralized openXdata server, using a GPRS connection.Ethical approval for the study was obtained from the Institutional Review Board (IRB) at Interactive Research & Development (IRD) which is registered with the U.S. Department of Health and Human Services (DHHS), Office for Human Research Protections (IRB # 00005148). Informed consent was obtained from patients or from guardians in the case of children, through signatures or thumbprints (for illiterate patients) onto paper consent forms, each of which was bar-coded with the patient ID to enable linking with electronic forms. Approval for the use of thumb ink prints in patients unable to provide signed consent as well as for guardians in the case of children was provided by the IRB. An IRB exemption was subsequently obtained for retrospective analysis of surveillance data following closure of the study and data collection activities.Statistical analysis was carried out using Stata version 12.1 . We calculated summary statistics by center for total number of cases, patient demographics and severity of bites based on the WHO classification Spatial analyses were limited to the city of Karachi as it had the highest number of cases and administrative boundaries for the city (as distinct town units) were easily available to permit geocoding of addresses. In addition, an insufficient number of addresses in other cities were deemed appropriately detailed for inclusion in spatial analysis, or were outside city limits. Due to the presence of a large stray dog population and wide variations in social determinants of health such as poverty and homelessness we hypothesized a non-uniform distribution of dog-bite incidence in the city The costs of the mHealth surveillance system have been described in US Dollars and International US Dollars (I$), a conceptual currency which adjusts costs for purchasing power parities between countries. The costs have been calculated from a health services perspective and do not include patient related variables such as lost productivity.A total of 6,470 cases of animal-bites were reported during the 24 months of surveillance, of which 96% were due to dog-bites. The largest number of cases was reported at the public tertiary care hospital in Karachi (48.26%), as shown in A previous study from a major public-sector tertiary care hospital in Karachi estimated that 25\u201335% of cases in the city visited its facility for management of dog-bites, Overall, a greater proportion of cases sought immediate healthcare at a non-medical facility or administered self-treatment (52.29%) . The medOverall 13 cases died due to rabies at an Emergency Room, 8 of which took place in Mansehra. Only one case was confirmed using the Fluorescent Antibody Test (FAT) on post-mortem examination, with the remaining diagnoses based on clinical symptoms.As described in The high costs associated with establishing and maintaining infectious disease surveillance systems makes poor countries such as Pakistan vulnerable to outbreaks and hinders control of endemic diseases. In the case of rabies, whose transmission is primarily mediated through a canine reservoir, understanding and mitigating the risk of exposure to dog-bites provides an opportunity to control a universally fatal disease No prior studies from Pakistan have attempted to quantify the burden of dog-bites and rabies in the country as multi-center surveillance was absent in the country. Published studies from the region have focused largely on clinical evaluations of dog-bite cases and wound-management practices. In addition, such studies have relied upon retrospective data or historical recall to ascertain bite-exposure with inherent limitations of such approaches, in particular with missing patient data for risk-factors and outcomes. Our mHealth system permitted electronic data capture at large public and private facilities, and allowed for the prospective assessment for a range of risk factors related to dog-bites and documentation of patient mortality. Through this study we highlight a large, previously undocumented burden of dog-bites in Pakistan. Given the challenges in setting up such surveillance mechanisms, the absence of well-documented evidence of this disease burden has prevented adequate control mechanisms to take root in the country, even though such initiatives began several decades earlier This study identified large variations in patient access to care and health-seeking behaviors across different reporting sites that may serve as indicators of risk for developing rabies. Cases presenting to urban centers such as Karachi and Hyderabad were least likely to visit non-medical facilities first or administer self-treatment and unsurprisingly had shorter travel times compared to centers serving more rural populations. An exception to this was Abbottabad where cases were less likely to seek care at a non-medical facility compared to other centers, although the median travel time to the ER in Abbottabad was significantly longer than in Karachi and Hyderabad. This likely reflects a more educated and affluent peri-urban and rural population accessing the ER at Abbottabad than at some of the other reporting sites. Similarly, the large catchment population served by the private hospital in Karachi that includes many rural fishering communities could have accounted for the differences in health-seeking behavior seen between the two reporting ERs in the city. A disproportionately high number of deaths were reported at the ER in Mansehra, which serves as a referral center for remote, rural mountainous communities. This center reported the longest adjusted travel times and it is likely that these cases presented when symptoms had already developed. In addition, the absence of cell-culture vaccines at this center may have also contributed to the higher mortality.A far greater proportion of males presented to ERs as compared to females, likely a reflection of total time spent outdoors, and possibly associated reduced risk of exposure, but this could also reflect limited access to health facilities for females. Women in Pakistan are less frequently outdoors, particularly in urban areas and non-agricultural rural communities and are also likely to have less access to healthcare compared to males. Although children were frequently victims of dog-bites, the age distribution of cases was not necessarily suggestive of increased risk given the young age of the Pakistani population. We found that at most centers, there were substantially more patients with severe dog-bite wounds (Category III). Possibly, less severe bites were being treated at lower levels of care, including using non-allopathic providers or self-care.Several public health initiatives will be required through evidence generated from this study. Foremost, advocacy efforts for rabies control need to be greatly strengthened and supported. It is important to emphasize that appropriate management of dog-bites and control of rabies is not neglected by policy-makers, public officials and hospitals given the focus on other key infectious diseases programs such as polio eradication, measles elimination and tuberculosis control. Significant investments will need to be made to improve public awareness about appropriate care following dog-bite exposure particularly in rural areas. Services for post-exposure prophylaxis need to be greatly expanded beyond urban centers. This may involve setting-up dog-bite care clinics within the publicly administered Basic Healthcare Units system or increasing the availability of reduced costs rabies vaccines in the private sector to promote its uptake in less developed regions of the country. Pre-exposure vaccination for low-income workers outside of more formalized animal farming settings such as abattoirs also needs to be considered by the government. Larger public facilities, especially those in more remote areas could benefit from intra-dermal injections of cell-cultured vaccines that are less costly and requires less vaccine therefore reducing the possibilities for potential stock-outs.Limited efforts under the banner of rabies control currently exist in most cities of Pakistan. In Karachi, measures largely include shooting of stray-dogs and depositing large numbers on an uninhabited island in order to help control their population. Spatial analyses can help direct more effective rabies control initiatives such as canine vaccination in low-resource settings by identifying high-risk populations. The presence of a large abattoir on the eastern border of Landhi, may have attracted large stray dog-populations in the area and contributed to the high incidence of reported cases from the immediately adjacent and more densely populated, low-income towns of Korangi and Malir. Our experience of establishing public health services and community cohorts in these towns spanning the past several years supports the premise of a large stray dog population concentrated in the area though their numbers are as yet not quantified. Based on the findings from the spatial analysis, we have approached veterinary-physicians in the military as well as officials in the city municipal offices to establish canine vaccination efforts focused around the eastern parts of the city highlighted within the maps as well as in Gadap Town, a large urban sprawl towards the north-east. Such programs would need to involve close coordination between administrative authorities of each town and can be supported in data monitoring and evaluation by academic organizations. Investigation of urban canine habitat and migration patterns will be required that can further help narrow areas with high risk of exposure and these activities can also be supported through the use of mobile-phone technologies. In addition, a more detailed understanding of dog-ownership and proportion of stray-dogs in high risk areas will be required. Findings from these investigations can help determine resource requirements and allow for targeted immunization campaigns.A major limitation of the system was the small number of centers that were enrolled in the study relative to all facilities where dog-bite cases might access care. This may lead to selection bias while making inferences about population characteristics. It is difficult to quantify the extent of missing data since dog-bite victims could visit any one of a number of public or private healthcare facilities, including non-allopathic providers across the country or may not seek any treatment at all. Resource constraints required selection of a limited number of high-volume tertiary care facilities that were also regional referral centers for dog-bites. Our estimates of the total number of dog-bites cases in the country are therefore likely to be conservative since fewer number of notifications may have taken place from rural centers with wider catchment areas as well as notifications from outside our reporting sites. For patient health access and health-seeking behaviors including centers within the regression models may have helped account for area-level indicators such as land use and transportation. However, socio-economic indicators from patients were not collected as part of the questionnaire and could therefore not be included. Patient travel time to ER was therefore used to approximate access to care.The spatial analysis included population estimates that were extrapolated from census data that were more than a decade old. A uniform population growth rate for this entire period and across all of Karachi's administrative units may not accurately reflect higher population growth in recent years and increases due to migration which may be more concentrated in certain areas. The accuracy of incidence rates for dog-bites is likely to be most sensitive to this variation in population; however, identification of clustering may be less affected since it is more dependent on the distribution of cases. Other well-known risk factors for dog-bites such as poverty, homelessness and dog population densities were unavailable or not generalizable, and prevented a more robust analysis. Investigating covariates that might account for some of the observed spatial dependence could identify potential risk factors for dog-bites and can further aid in the decision-making process. Since only two centers were enrolled in Karachi reporting bias may have contributed towards the observed clustering of cases around Korangi, a major limitation of the spatial analysis. Increasing the number of surveillance sites would have accounted for this. Employing case-control methodologies with mapping of point-pattern data in order to more appropriately quantify differences in risk could help enhance inferences regarding the spatial distribution of dog-bites.Scale-up and sustainability are major limitations that prevent this system from being more effective. Whilst short, on-site trainings provided sufficient familiarity for screeners to utilize the software for reporting, the data-collection process itself was occasionally perceived as disruptive to patient-care. This suggests that any integration of innovative technologies within a health system needs to take into account the broader environment in which it will operate. Health administration in South-Asia, particularly in the public sector is frequently hierarchical and scaling-up such initiatives is challenging without support from senior officials, as was the case at two sites we had approached. Data collected via the system may be integrated within wider reporting systems. OXD stores data as a relational database that allows data export in CSV formats for data integration provided other systems support such formats. For non-supportive systems programs would be required to appropriately transform the data. Technological challenges in scale-up of the system infrastructure were largely related to data-storage capacity of servers. Mobile internet connectivity was not an issue at our reporting sites largely due to rapid advances in telecommunications coverage over the past decade. However, it may be a challenge to extend this system to more remote settings with poor connectivity. Newer technologies such as 3G and O3B (Other 3 Billion) that are under development in the country may help improve connectivity and speed of data-transfer. Limitations in the software mobile-application utilized for the surveillance system included the absence of SMS reminders for vaccinations. Phone calls attempted by screeners to follow-up were not logged in the database, and hence did not generate automatic alerts for patients potentially defaulting their vaccine schedule.Assessing the cost-effectiveness of this system is challenging in the absence of any mechanisms for surveillance of dog-bites and rabies in Pakistan. Our cost estimate of USD 7.15 per dog-bite case identified is higher compared to other mHealth surveillance evaluations in resource-limited settings Sustainability of such surveillance systems are generally linked to funding commitments from governments or donor agencies. Through this study we attempted to first highlight the need for dog-bites and rabies surveillance and secondly demonstrate the ability of mHealth technologies to deliver such a system. However, the type of analyses carried out in this study may well be beyond the scope of screeners or even public health administrators to carry-out on a routine basis, thus limiting its appeal. Enhancements to the software therefore need to include elements of product design utilized by commercial technology companies that involve sophisticated yet user-friendly server front-end applications for easier data-visualization (e.g. GIS) and presentation of complicated data analyses . Costs associated with such software development was not feasible within the project funding. An alternative sustainability strategy may therefore be to seek investor funding that helps further develop the software with a commercial intent and for it to be delivered as a package to provincial or national governments. The business model could involve recovering costs by charging for each case registered and tracked via the system, rather than seeking upfront costs for project implementation which may be met with greater resistance.We identified a high burden of severe dog-bites and substantial variation in patient health-seeking behavior and access to care across different regions of Pakistan. Spatial analyses were suggestive of clustering of dog-bite cases in Karachi and can facilitate preventive efforts. Low-cost mobile phone technologies have the potential to address gaps in surveillance systems in low-resource settings. Further cost-effectiveness studies are required of large-scale implementations of mHealth based infectious diseases surveillance systems in developing countries to generate evidence for necessary resources for scale-up and sustainability."}
+{"text": "Chest X-ray is routinely performed to check the position of the central venous catheter (CVC) inserted through the internal jugular or subclavian vein, while the further evaluation of CVC malfunction is usually performed by contrast venography. In patients with superior vena cava obstruction, the tip of the catheter is often seen in collateral mediastinal venous pathways, rather than in the superior vena cava. In such cases detailed knowledge of thoracic vessel anatomy is necessary to identify the exact location of the catheter.We report a case of 32-year-old female patient with relapsing mediastinal lymphoma and previous superior vena cava obstruction with collateral azygos-hemiazygos venous pathways. The patient had CVC inserted through the left subclavian vein and its position was detected by CT to be in the dilated left superior intercostal vein and accessory hemiazygos vein. Considering that dilated accessory hemiazygos vein can tolerate infusion, the CVC was left in place and the patient had no complaints related to CVC position. Furthermore, we present anatomical and radiological observations on the azygos-hemiazygos venous system with the special emphasis on the left superior intercostal vein.Non-contrast CT scans can be a valuable imaging tool in the detection of the CVC position, especially in patients with renal insufficiency and contrast media hypersensitivity. Chest X-ray is routinely performed to ascertain the position of the central venous catheter (CVC). The catheter should be placed in a large-calibre vein with a sufficient flow to tolerate infusion which is usually the subclavian vein, brachiocephalic vein or superior vena cava.3Radiographic and venographic features of CVC malposition in the left superior intercostal vein were previously described.A 32-year-old woman presented to our hospital with relapsing bulky mediastinal non-Hodgkin lymphoma and previous superior vena cava obstruction. A single-lumen CVC was uneventfully inserted through the left subclavian vein without imaging guidance. Aspirated blood was venous. Routine chest X-ray was obtained to ascertain the position of the catheter and was Since hemodynamic parameters were consistent with a venous localization of the catheter, it was left in place and three hours later a non-contrast thoracic CT scan was performed in order to clarify its position . It showMalposition occurs in about one-third of CVC insertions if imaging guidance is not used, while it happens less frequently under sonographic or fluoroscopic guidance.The left superior intercostal vein and azygos arch present a major venous loop connecting the posteriorly located azygos-hemiazygos system with the anteriorly located superior vena cava and left brachiocephalic vein.1The left superior intercostal vein can be identified on upright posteroanterior chest radiograph in 1.4%\u20139.5% of healthy people as a small \u201cnipple\u201d lateral to the aortic arch.1The non-dilated left superior intercostal vein is usually too narrow for the insertion of a CVC. The insertion of the CVC tip into the narrow left superior intercostal vein irritates the vessel wall leading to catheter-related infection and thrombosis. Our patient had prior superior vena cava syndrome and thrombosis, and consequently developed collateral venous pathways, including the enlargement of the left superior intercostal vein. Enlarged collateral veins can occasionally be the site of CVC malposition. The CVC was left in place in the left superior intercostal and accessory hemiazygos vein because developed collateral venous pathways usually have a sufficient flow to tolerate infusion. The deliberate placement of CVC into the azygos-hemiazygos system with the effective long-term venous access in the patient with superior vena caval occlusion was previously reported.12When oncologic patients undergo follow-up CT examinations of their underlying disease processCT can be a valuable tool in evaluation of the CVC position, especially in patients in whom diagnostic contrast venography is contraindicated due to renal failure or contrast media hypersensitivity. If the CVC tip is detected to be in the dilated left superior intercostal vein or accessory hemiazygos vein in patients with superior vena caval syndrome, the vein can usually tolerate infusion and the catheter can be left in place. Detailed knowledge of normal and anomalous venous anatomy is required for the optimal interpretation of the CVC position."}
+{"text": "Background. Transoral robotic surgery (TORS) is an emerging treatment option for the treatment of head and neck malignancies, particularly for oropharyngeal squamous cell carcinoma (OPSCC). Preliminary studies have demonstrated excellent oncologic and functional outcomes that have led to a resurgence of interest in the primary surgical management of OPSCC. The aim of the present study was to review the evidence base supporting the use of TORS in OPSCC. Methods. Studies evaluating the application of TORS in the treatment of head and neck squamous cell carcinoma (HNSCC), and more specifically OPSCC, were identified for review. Further searches were made of reference lists for complete evaluation of minimally invasive surgery (MIS) in treating OPSCC. Results. Seventeen results relating to the application of TORS in treatment of OPSCC were identified. Further results relating to the role of transoral laser microsurgery (TLM) in OPSCC were included for review. Feasibility, oncologic, and functional data is summarized and discussed. Discussion. Management strategies for patients with OPSCC continue to evolve. Minimally invasive surgical techniques including TORS and TLM offer impressive functional and oncologic outcomes particularly for patients with early T-classification and low-volume regional metastatic disease. Potential exists for treatment deintensification, particularly in patients who are HPV positive. Approximately 500,000 new cases of head and neck squamous cell carcinoma (HNSCC) are diagnosed each year making HNSCC the 6th most common cancer worldwide . The ratThese trends, which have seen rates of OPSCC as much as double over the last three decades in some countries, have been associated with a shift in demographics to a younger population that is typically high functioning with lower rates of comorbid illness . CombineThese new developments in the pathogenesis of HNSCC, and in particular OPSCC, are occurring in the context of large-scale paradigm shifts over the past two decades towards organ preservation treatment protocols. The Veterans Affairs laryngeal cancer study published in 1991 began the era of organ preservation and led to the application of primary radiation approaches to other subsites such as the oropharynx . AlthougMinimally invasive surgery (MIS) for HNSCC continues to be extensively reported within the head and neck literature, driven by the desire to offer a less morbid alternative to chemoradiation. These techniques have included transoral laser microsurgery (TLM) and more recently, transoral robotic surgery (TORS). TORS was first introduced into the literature by Weinstein et al. in 2005 with their case report of a supraglottic laryngectomy performed in a canine model . The adaSince this early report, the development of TORS in its various human applications has been steadily progressing with feasibility studies confirming the safety and usability of this technology in live human patients , 6. GiveVarious reports of the use of TORS in benign disease processes have been published in the literature \u201310, howeThe aim of the current review is to provide an evaluation of the existing literature with regards to the oncologic and functional outcomes following treatment of OPSCC with minimally invasive surgery and in particular, TORS.A literature search was conducted using PUBMED and MEDLINE with search parameters including OR robot[All Fields] OR telerobot[All Fields] OR (\u201crobotics\u201d[MeSH Terms] OR \u201crobotics\u201d[All Fields] OR \u201ctelerobotics\u201d[All Fields]) OR robot-assisted[Title])) OR TORS[Title].The references of the identified studies were reviewed further for completeness. In addition, studies relating to the use of TLM were identified to facilitate a complete evaluation of the evidence base for the current role of MIS in the management of OPSCC.Only those studies dealing specifically with the management of patients with HNSCC were included, with descriptions of TORS for benign disease, nonmucosal malignancies of the upper aerodigestive tract, novel applications of TORS and descriptions of cadaveric studies all being excluded. Specifically, data relating to the evaluation of quality of life, oncologic and functional outcomes in the identified studies was reviewed.Sixty-nine results were identified for review of which the references were further evaluated for potential inclusion in the analysis. Of particular note, studies related to the use of transoral laser microsurgery were included for complete review of minimally invasive surgery in the treatment of OPSCC.Sixteen studies were excluded as they were not related to the application of TORS in patients with HNSCC. Forty studies addressed the role of TORS in treatment of head and neck tumors and in particular, 17 studies commented directly on the use of TORS in patients with OPSCC. Six studies were identified that investigated quality of life and functional outcomes following TORS for treatment of HNSCC/OPSCC with a further seven discussing feasibility aspects including setup and operative times .The initiation of new TORS programs, generally established in conjunction with robotic programs in other surgical specialties, has repeatedly demonstrated success in establishing safe and efficient robotic services for head and neck oncology units \u201319. OperFor patients who require free flap reconstruction of the ablative defect, feasibility studies and initial case series detailing free tissue transfers via minimally invasive surgical approaches and robotic-assisted microanastomotic techniques have also demonstrated reliable perioperative outcomes , 20\u201325.In excess of 500 patients receiving TORS to manage OPSCC have been reported across 17 studies. A summary of the TORS literature relating to the oncologic outcomes in patients with OPSCC is presented in Nonetheless, preliminary data relating to local control, disease-specific survival, and overall survival using upfront TORS is encouraging, with early overall survival rates at 1 year exceeding 90% with emerging 2-year survival data between 80% and 90% , 28, 29.These oncologic outcomes with TORS largely mirror the experience reported in the TLM literature with patient populations again largely demonstrating early T-classification, deintensified adjuvant treatment recommendations based on pathological staging, and impressive oncologic control . SteinerThis potential to deintensify treatment based on successful surgical control of the primary tumor burden has led to retrospective analysis of the experience in some centers with single modality treatment of OPSCC. Grant et al. reported in 2009 their experience with 69 patients with select mostly early T-stage OPSCC who did not receive adjuvant therapy (64% not indicated and 36% offered but declined) . The 5-yIt remains unclear whether a subset of patients with OPSCC can be treated with primary surgery in order to achieve superior functional results with deintensification of adjuvant treatment. Following on from Steiner's early work the use of TLM has repeatedly demonstrated impressive functional outcomes with low rates of gastrostomy dependency, decannulation and high quality of life scores on questionnaire assessment. These results are summarized in Tables Early TORS data supports these impressive functional outcomes with most series reporting 1-year gastrostomy-tube rates under 10% and long-term rates of 0% for patients treated with upfront surgery , 28, 33 A further confounder in the management of OPSCC is the role of HPV in disease pathogenesis and significance as a prognostic factor, apparently irrespective of treatment modality , 34\u201336. Weinstein et al. also reported on 50 patients treated for OPSCC with an HPV-positive rate of 74% (37/50). In this series of patients treated with upfront TORS, the disease-specific survival of patients with HPV-positive OPSCC at 1-year and 2-years was 97% and 90%, respectively. However, the HPV-negative cohort in this primary surgical series demonstrated equal oncologic control with disease-specific survival rates at both 1-year and 2-years of 100%.The management of patients with OPSCC continues to evolve with both advances in therapeutic regimens and evolution of our understanding of the underlying disease pathophysiology. Early surgery-based treatment paradigms have been largely abandoned with the general adoption of nonsurgical regimens supported by an evidence base demonstrating superior functional outcomes whilst retaining comparable survival results \u201341.Paralleling the improvements in surgical technique, the natural evolution of radiotherapy has resulted in a decrease in treatment-related morbidity. Refinement of targeted 3D conformal radiotherapy methods such as intensity-modulated radiotherapy (IMRT) has allowed increased precision in delivery of radiotherapy to patients with HNSCC with associated decreases in adverse sequelae . TemperiAs the etiologic factors involved in the development of OPSCC continue to be elucidated one variable that has proven immensely significant is the role of human papillomavirus (HPV). This HPV epidemic has interestingly occurred during the same period as the widespread adoption of chemoradiotherapy as standard of care treatment for advanced stage OPSCC. This has managed to blur the lines somewhat with respect to whether these improved outcomes are secondary to treatment modifications or reflective of a naturally improved survival rate in patients with HPV-positive disease. Furthermore, the HPV-positive OPSCC patient has been defined as typically younger with lower rates of significant medical comorbidities . CombineOncologic outcomes in patients with HPV-positive OPSCC remain similar regardless of treatment approach. Therefore, an appreciation of functional outcomes represents a significant and fundamental consideration when formulating management recommendations. Transfacial and transmandibular surgical approaches to the oropharynx carry potential morbidity and have been demonstrated on retrospective analysis to be associated with poor functional outcomes when compared to radiotherapy \u201341. BothComparisons of outcomes after TORS versus chemoradiotherapy across studies are hampered by differences in baseline patient populations, selection, and treatment technique. Nonetheless, rates of gastrostomy tube dependency after chemoradiotherapy have typically been reported as between 9% to 39% in patients treated with chemoradiotherapy \u201359. CritThe promising impact of TORS on the quality of life and survival outcomes of OPSCC patients remains an important clinical question that requires higher levels of supporting evidence. A recent surgical consensus statement (the \u201cIDEAL\u201d guidelines) suggests that randomized comparisons be carried out wherever possible, once adequate pretrial data are available . ThroughUltimately, ORATOR aims to assist in the identification of OPSCC patients who might be best served by upfront surgery. Adapting data from other head and neck subsites we understand that in a select group of \u201csurgical responders\u201d chemoradiotherapy represents a suboptimal treatment approach due to either lack of response in locoregional disease control or excessive treatment-related side effects and morbidity. Further, defining the \u201csurgical responder\u201d in patients with OPSCC is perhaps even more important than other subsites such as the larynx given the relative lack of success with surgical salvage. Combined with the work of others, ORATOR can hopefully work to identify the ideal OPSCC patients for upfront TORS, with the realization that chemoradiotherapy will still represent an excellent treatment option for the \u201cnonsurgical responder.\u201dUltimately, providing truly accurate risk assessment will require a clearer understanding of the underlying molecular genetics of HNSCC. Only then can patients be risk stratified with relative certainty utilizing both clinical and genetic evidence to guide treatment plans. Recent high-throughput genetic sequencing publications in science by Agrawal and Stransky provide exciting insights into a future that promises genetically guided management to optimize survival and minimize treatment-related morbidity , 62. FurThe continued development of minimally invasive surgical techniques such as TORS offers a significant opportunity to impact positively on patient quality of life and posttreatment function whilst retaining satisfactory oncologic control. Initial feasibility and case series reports are encouraging but require further validation through well-designed randomized control trials prior to widespread shifts in accepted treatment paradigms."}
+{"text": "Plants and pathogens evolve in response to each other. This co-evolutionary arms race is fueled by genetic variation underlying the recognition of pathogen proteins by the host and the defeat of host defenses by the pathogen. Together with new mutations, genetic diversity in populations of both the host and pathogen represent a pool of possible variants to maintain adaptation via natural selection.Drastic changes in genetic diversity in crop species have occurred as a consequence of domestication. Whether changes in the genetic composition of these host populations also have affected genetic diversity in pathogen species is, so far, poorly understood. Advances in comparative genomics and population genomic approaches open new avenues to study adaptive processes in plant pathogens and to infer the impact of agro-ecosystems on the evolution of pathogen populations. Here we summarize new insights gained from comparative genome studies and population genomics in host-pathogen systems.In the process of domestication, crop species have undergone striking changes in both morphology and physiology. At the genetic level, these phenotypic changes have been brought by strong directional selection on a few genes Phythophthora infestansMagnaporthe oryzaePuccinia striiformisAgro-ecosystems brought by domestication have favored the emergence and specialization of new pathogen species by providing a new ecological niche. High densities of host individuals, genetic homogeneity of host populations, and recently the facilitated long distance dispersal of propagules by anthropogenic activities are factors that are greatly conducive for the propagation of pathogens in agro-ecosystems Comparative genomics and population genomic analyses have provided new insights into genome evolution, speciation, and the origin of pathogenicity traits. A main conclusion from these studies is that fungal pathogens can exhibit very high levels of genome plasticity and plasticity itself may be instrumental in enabling the emergence of new virulence traits Verticillium dahliae a population genomics analysis was used to identify a determinant of race specificity V. dahliae led to the identification of a 50 kb fragment only present in race 1 isolates. Subsequent RNAseq data revealed only a single highly expressed ORF in this region. Experimental analyses confirmed the determining role of this gene as a virulence factor in race 1 strains of the pathogen. V. dahliae is a predominantly asexual pathogen and the acquisition of this virulence factor, possibly through a horizontal gene transfer event, underlines the importance of genome plasticity in adaptive evolution of fungal pathogens.In the plant pathogen Zymoseptoria pseudotritici revealed a particular evolutionary history for this species Z. pseudotritici harbors a mosaic of long fragments without any polymorphisms interspersed with fragments exhibiting two distinct haplotypes. This pattern is consistent with a recent interspecific mating of just two genotypes resulting in a successful new species formation via hybrid speciation. The underlying molecular traits responsible for pathogenicity in the hybrid still remain to be identified. However, the broad distribution of Z. pseudotritici at its center of origin demonstrates how new genomic combinations mediated through interspecific hybridization can lead to the successful emergence of new pathogens.In addition to horizontal gene transfer, new pathogenicity traits may emerge from the crossing of genetically rather distant individuals. Population genomic analysis of the grass pathogen N and PS) furthermore measures the direct effect of natural selection removing slightly deleterious non-synonymous variants in coding sequences (purifying selection). Most genes are expected to evolve under purifying selection , however a local increase in PN/PS may reveal those few genes where new non-synonymous variants are favored by natural selection (positive selection). If genomic data from one or more related species are available, rates of non-synonymous (dN) and synonymous (dS) substitutions can be assessed to contrast within and between species patterns of variation were analyzed jointly with rates of branch-specific estimates of substitutions (Nd and Sd) to assess the effect of natural selection on coding sequences. A significant finding was that the transition to an agro-ecosystem did not entail an evolutionary \u201ccost\u201d in M. graminicola. Evolution in M. graminicola is instead characterized by the efficient fixation of new beneficial mutations enabling the pathogen to adapt to its new host and environment as reflected by currents ratios of PN/PS in the three species and branch-specific rates of dN and dS. Sexual recombination in the pathogen has likely also played a significant role in the purging of deleterious mutations.A population genomics approach was also used to study patterns of adaptive evolution in the wheat pathogen The above-mentioned studies exemplify the broad potential of population genomic analyses in evolutionary studies of plant pathogens including the identification of strongly selected genes, estimates of evolutionary potential, and inferences of past demographic histories and current levels of adaptive evolution.Population genomics studies will boost our understanding of adaptive evolution of plant pathogens in agro-ecosystems. The first studies on fungal pathogens have so far shown that fungal pathogens readily adapt to the agricultural environment and have revealed strong footprints of natural selection on their genome-wide diversity. Several studies have documented unexpectedly high levels of genome plasticity in fungal pathogens, allowing the acquisition of new genetic material and the presence of supernumerary chromosomes. We still need to understand the drivers of genome plasticity and their importance for adaptation. An equally important endeavor will be to understand further how the evolutionary potential of pathogen populations is maintained in spite of strong directional selection within homogenous host environments.In light of the increasing need to control plant pathogens, we consider the close integration of evolutionary genomics with experimental studies will be essential to describe and predict the emergence, establishment, and adaptation of plant pathogens in agro-ecosystems. A combination of evolutionary analyses of genome-wide patterns of genetic diversity in crops and pathogens combined with targeted experiments, including functional studies and experimental evolution on pathogens, will be important to guide the much-needed design of novel and sustainable strategies to slow down the emergence and spread of pathogens"}
+{"text": "To test this hypothesis, we incorporated a novel active learning (AL) algorithm into FARSIGHT image analysis software that aids the expert by seeking out informative examples for the operator to label. The resulting FARSIGHT-AL system identified EC with specificity and sensitivity consistently greater than 0.9 and outperformed traditional supervised classification algorithms. The system modeled individual operator preferences and generated reproducible results. Using the results of EC classification, we also quantified proliferation (Ki67) and activity in important signal transduction pathways in immunostained human clear cell renal cell carcinoma and other tumors. FARSIGHT-AL enables characterization of EC in conventionally preserved human tumors in a more automated process suitable for testing and validating in clinical trials. The results of our study support a unique opportunity for quantifying angiogenesis in a manner that can now be tested for its ability to identify novel predictive and response biomarkers.Currently, no available pathological or molecular measures of tumor angiogenesis predict response to antiangiogenic therapies used in clinical practice. Recognizing that tumor endothelial cells (EC) and EC activation and survival signaling are the direct targets of these therapies, we sought to develop an automated platform for quantifying activity of critical signaling pathways and other biological events in EC of patient tumors by histopathology. Computer image analysis of EC in highly heterogeneous human tumors by a statistical classifier trained using examples selected by human experts performed poorly due to subjectivity and selection bias. We hypothesized that the analysis can be optimized by a more Cancers are a complex community of different cell types with the transformed tumor cell population usually receiving primary attention. Cells of the tumor stroma, often considered secondary, provide essential support for tumor cells and are increasingly recognized for their contributions to the malignant behavior of cancers Based on prior studies in mouse tumor models active learning algorithm developed originally for Unexploded Ordnance Cleanup Performing comprehensive, cytometric analysis of EC from tumor images is predicated on the identification of individual cells present in the tumor and their classification into cell types of interest. We developed a hybrid nuclear segmentation algorithm Section The fundamental idea behind active learning (AL) is that not all training examples are equally useful for classification. Based on what we know about the cells by observing the labels for a few training examples, labels of certain examples are more useful than others. By focusing on these examples iteratively, the algorithm can learn the problem more quickly and classify the data more accurately. AL algorithms sequentially select the most informative cells from the large unlabeled pool and query the user for their labels. Based on how the notion of information is defined, several active learning methods have been proposed. One of the most popular frameworks is the Uncertainty Sampling where the algorithm queries for examples that it is most uncertain about. It is commonly used with margin based classifiers like SVM Traditionally, supervised classification algorithms also require the users to select the best set of features that will help differentiate between different cells of interest. The more discriminative the set of features selected, the better the classification accuracy. However, most feature selection algorithms require a representative training set apropri to select the best set of features for classification. Other feature reduction methods involve exploiting the information in the eigenstructure of the data and project the original data into a latent space where the new features are linear/non-linear combination of original features. Although effective, the transparency of features is lost when latent space methods are used and additional effort is required to interpret these results. Most feature selection algorithms require the user to perform offline analysis. To select the important features on the fly and obviate the offline feature selection process, we improved the active learning algorithm to automatically select the important features for classification also, thereby freeing the user from expending additional effort for deciding the relevant features for different cell classification problems. The complex mathematics of the proposed algorithm . We previously developed FARSIGHT to analyze images and classify carcinoma cells based on morphometric characteristics and association with epithelial cytokeratin or other biomarker staining To teach FARSIGHT-AL to classify EC in a set of tumor images, the trainer provides one initial example of EC and non-EC nuclei. The system then displays a list of cell features that can be utilized for the current classification task. Since the algorithm automatically selects the important features, we initially performed a \u201cblind\u201d analysis where all the computed features were proWe created a set of 20 images of stained ccRCC tumors from five different patients (ccRCC20 image set) with which to train and test the program .Although the performance of the algorithm in auto-select mode met expectations in all the datasets, we wanted to compare its classification performance in manual-select mode. To test this approach, the trainer selected the features to be used for EC classification and allowed the algorithm to select only the informative training examples for which the user provided the labels. When compared with the auto-select mode, the algorithm with manual feature selection achieved a comparable specificity value (0.998) and PPV (0.99) but the performance degraded slightly with respect to sensitivity (0.93) and NPV (0.988). .Aware that human experts disagree frequently on which cells are EC in images, we evaluated how machine EC classification depended on its training. Two additional experts trained FARSIGHT-AL (in auto-select mode) to classify EC using the ccRCC20 image set and also personally classified EC in these images. Venn diagrams show theWith FARSIGHT-AL trained to classify EC in ccRCC tumors, we tested its ability to classify EC in other tumor types that had been similarly stained. Since the cell-type identifications of the three pathologists agreed reasonably, we used the classification models obtained by training against trainer 2's interpretations only. We compared models where features were auto-selected or manual-selected with human EC classification. EC were classified in 22 images containing a total of 13,585 cells taken from seven RCC tumors that were subtyped as non-clear cell (non-ccRCC image set) and included papillary type I and type II and chromophobe RCC. Comparison of the two models with humAccurate classification of EC in tumors using FARSIGHT-AL sets the stage for obtaining biologically meaningful information on these cells. Our interest in and the potential clinical significance of the biological activity of EC in tumors led us to train FARSIGHT-AL to determine their cell proliferative and signal transduction activities as reflected in EC expression of Ki67 and activated signaling intermediates, p-ERK and p-STAT3. The characteristic subcellular distribution and staining intensity of these analytes in immunostained ccRCC tumors dictated how EC were assessed for their presence: Ki67 and p-STAT3 are nuclear, and their expression was assessed by quantifying staining within nuclear boundaries drawn during segmentation; p-ERK is found in the nucleus, cytoplasm or both and was assessed by quantifying staining within a perimeter of two pixels (0.5 micron in images taken at 400X magnification) beyond nuclear boundaries. These factors and other distinctive characteristics of analyte immunostaining see led us tAn issue with quantifying analyte expression is the variability in analyte background signal (DAB staining) among different tumors and even among images from different regions of the same tumor. Selecting a threshold to classify analyte-positive cells without compensating for the background can result in many cells being incorrectly classified as analyte-positive. We observed this effect in Ki67 and p-STAT3 analyte channels with the p-ERK channel being relatively free of background staining effects. Therefore, both Ki67 and p-STAT3 channels were processed with a background subtraction algorithm that computes the average background signal (pixel intensity) and subtracts this value from the pixel intensities of the image. After performing background subtraction, cells classified as analyte-positive were the ones with analyte expression greater than the specified threshold. Trainer 2 manually classified every cell in the ccRCC20 image set as analyte- positive or negative and, treating this labeled set as ground truth, we validated the thresholding method against it. The method yielded excellent specificity and sensitivity . We present a software system with a sophisticated machine learning algorithm that is scalable and enables rapid, reproducible and accurate classification of cells with selective quantification of molecular analytes over subpopulations. It is responsive and searches features of hundreds of thousands of cells in a matter of seconds to present the user with the most informative cells for labeling. A critical requirement of any algorithm when dealing with human tumors is to adapt to the inherent variability present in the tissue samples, and our results on ccRCC tumors indicate that the algorithm performs very well in this regard. Moreover, the classifier model generated to identify EC in ccRCC performed similarly on data from different tumors from different species. Since cancer histopathology studies often examine similar cells in different tumor tissues, FARSIGHT-AL may save researcher time and effort in cell classification by creating representative cell type classification models that are broadly applicable and yield accurate results when the imaging protocols are similar. Our studies with multiple experts indicate that FARSIGHT-AL is malleable and learns the nuances of trainer interpretations. The algorithm is consistent and, as long as the initial examples and the labels provided by the trainer are the same, the algorithm queries for the same cells and yields the same final EC classification result; this contrasts with human EC classification, which often shows differences from occasion to occasion (data not shown).www.farsight-toolkit.org).An attractive feature of our system is the complete flexibility it provides to the user in terms of automation and robustness to user-selected settings. The auto-select mode requires minimal supervision from the user; this ability of the algorithm may be especially useful in cases where cell types of interest have not been stained with a specific marker and training relies heavily on morphological features that might not be easily specified. The system can be integrated in clinical workflow and used by researchers easily as it works without the need for careful parameter adjustments or specialized training. The auto-select mode allows development of accurate classification models when only images with the labeled cells are available. The pathologist labeling the cells need not be an expert in software, the software operator need not be expert in histopathology, and the two only have to communicate and grade results. All the algorithms and software have been integrated into the open-source FARSIGHT toolkit , information was unavailable about how tumors were handled prior to fixation and embedding. As quantitative analysis of biologically important antigens in patient cancers becomes feasible, it highlights the need for quality control and standards in the handling of clinical specimens to limit preanalytic variables.Management of advanced RCC has been transformed by the advent of therapeutic agents that target components of the VEGF and other important EC signaling pathways The Institutional Review Board of the University of Pennsylvania approved this study of renal cell carcinoma tumor samples previously collected by the Eastern Cooperative Oncology Group (ECOG) in their multi-institutional study protocol ECOG2804. Patients enrolled in ECOG2804 provided written informed consent for ECOG to collect tumor tissue previously removed.Human renal cell carcinoma specimens were obtained from the University of Pennsylvania's Department of Pathology & Laboratory Medicine's clinical paraffin archive and the Eastern Cooperative Oncology Group (ECOG) pathology core lab under IRB approval.5 micron sections of formalin-fixed, paraffin embedded tumor tissues were deparaffinized and treated with citric acid monohydrate buffer (pH 6) at 75\u00b0C for 11 minutes prior to staining. The antibodies used for immunostaining included rabbit monoclonal anti-phospho-extracellular-signal-regulated-kinase (p-ERK), rabbit monoclonal anti-phospho-signal transducer and activator of transcription 3 (p-STAT3), mouse monoclonal anti-human Ki67 , rabbit monoclonal anti-CD34 , mouse monoclonal anti-carbonic anhydrase 9 (CA IX) Multiplex staining protocols were developed to stain slides with combinations of the above antibodies and chemicals to reveal cellular compartments and antigens that report on cell type and molecular analytes. A frequently used combination included staining for a molecular analyte with DAB, CD34 with Alexa Fluor 488, CA IX with Alexa Fluor 647, SMA with Cy3, and nuclei labeled in hematoxylin .Multispectral images were captured using a Vectra\u00ae multispectral microscope and camera at 400X magnification (8 bits/pixel depth) from 420 nm-720 nm at 20 nm wavelength intervals (brightfield mode) or 10 nm wavelength intervals (fluorescence mode). Nuance\u00ae software was used to spectrally unmix the image cubes into individual channels corresponding to hematoxylin, DAB, and the fluorochromes . Unmixing was based on the pure spectra of the respective chromogens and fluorochromes.The spectral unmixing procedure results in multiple non-overlapping channels including a nuclear channel. We employed a hybrid segmentation algorithm that combines the algorithms proposed by Al-Kofahi et al th cell. Considering a binary classification problem, the labels of the cells are denoted by Each cell is denoted by a vector of cell measurements - (1); i.e.,Where actively based on the Fisher information matrix and this approach is called active learning. We denote the Fisher information matrix by In the proposed method, training examples are selected 1-regularized logistic regression 1 norm and 1- norm, we use the eps-L1 approximation to maximize the log-likelihood function. Finally, the Fisher Information matrix in auto-select mode is given by \u22129).The selection of training examples proceeds in a sequential fashion where examples that maximize the determinant of the Fisher information criterion are queried for their labels; i.e., the algorithm queries the user for labls of those examples that maximize, in every iteration, the value of the expression oP as the observed proportion of classification calls that are the same between two raters and eP as the proportion of classification calls that would be the same by chance given the observed data, then Cohen's Kappa (\u03ba) oP will equal eP and \u03ba will be zero. Although in general the interpretation of \u03ba depends on the prevalence of a positive rating and the bias (the difference between raters in the proportion of positive ratings), a \u03ba value of 0.6 or greater between raters is generally regarded as substantial agreement.The numerator in this expression represents the proportion of observed agreement minus the agreement expected by chance assuming the fractions of observed positive ratings in the two classifiers, and the denominator represents the highest possible agreement minus the agreement expected by chance. If the raters agree as well as if they simply flipped coins i.e., completely randomly, Multispectral microscopy was performed in the Tumor Tissue and Biosample Bank (TTAB) facility, which is supported by the Department of Pathology & Laboratory Medicine and Abramson Cancer Center (P30 CA16520). We thank Jaromir Pastorek for M75 anti-CA IX antibody Figure S1Multispectral image of a multiplex-stained ccRCC tumor with results of spectral unmixing. A clear cell renal cell carcinoma (ccRCC) slide was stained for an analyte (Ki67) and nuclei using chromogens DAB (brown) and hematoxylin (blue), respectively, and for antigens that mark different cells types using different fluorochromes. After spectral unmixing, the brightfield image (A) yielded hematoxylin (B) and DAB (C) chromogen channels, which were used for nuclear segmentation and analyte determination, respectively. After spectral unmixing, the fluorescent image (D) yielded the Alexa Fluor 488 (E), Cy3 (F) and Alexa Fluor 647 (G) channels, which were used to stain CD34 , SMA (pericyte) and CA IX (tumor cell) antigens, respectively.(TIF)Click here for additional data file.Figure S2Comparison of FARSIGHT-AL performance with other feature selection algorithms for UCI machine learning breast cancer datasets. Mean classification accuracy of 25 independent simulations plotted as a function of number of training examples for different automated feature selection algorithms including FARSIGHT AL (blue lines) on the UCI Breast Cancer Datasets. FARSIGHT-AL selected 50 training examples sequentially based on the increase in information gain whereas logistic regression was used to classify examples after feature selection by PCA (green), T-Test (purple), MRMR (Orange). Standard Logistic regression (red) with no feature selection performs poorly compared to other algorithms. The bars indicate standard error of the mean of classification accuracy.(TIF)Click here for additional data file.Figure S3Subcellular distribution of different analytes. The diversity in the staining patterns of different analytes is illustrated in the above figure. The nuclear stain appears blue in color whereas the analyte stain appears brown. Ki67 (A) and pSTAT3 (B) are predominantly nuclear bound whereas pERK (C) IS found in both the cytoplasmic and nuclear regions.(TIF)Click here for additional data file.Figure S4Comparison of ccRCC and non-ccRCC tumors for hypervascularity. The whisker plot shows the proportion of EC as a percentage of total number of cells in 22 ccRCC tumors (left) and 6 non-ccRCC tumors (right). In both the panels, the dot and the whiskers follow standard notation i.e., the dot indicates the median value of the proportion of cells and the top and bottom whiskers indicate the 25th and 75th percentile. Visual inspection of these plots suggests that the proportion of EC is higher in the ccRCC case. Comparison of the median values from each group using the Wilcoxon rank sum test revealed statistically significant differences between the groups with a p-value of 0.0015.(TIF)Click here for additional data file.File S1File containing Tables S1\u2013S4.(DOC)Click here for additional data file."}
+{"text": "Visual attention mechanisms allow the visual cortex to direct cortical processing to salient locations within a visual scene, at the expense of diminished processing of stimuli at other locations. The deployment of attention to a given location is known as spatial attention. Attention may also be applied to a known feature in a visual scene, such as a colour or shape, enhancing its occurrences across the visual field. In , a modelWe present here a neural dynamical model of feature-based attention that directs attention to salient locations in a multi-object scene through interaction of stimulus driven and cue driven neural activation. This interaction is managed by a disinhibition circuit gating output to a retinotopic neural region of the dorsal stream, the lateral intraparietal area (LIP). When visual stimuli are presented to primary visual cortex (V1), neural activation spreads into higher ventral stream areas through increasing neural receptive fields between layers. Stimulus driven neurons activate excitatory output and inhibitory interneuron populations in the disinhbition circuit. When a salient feature is cued by activation of its associated anterior inferotemporal (AIT) neuronal population, neural activity propagates to lower visual areas across all locations of the visual field. Activity in this top-down flow inhibits the inhibitory interneuron population allowing excitatory output from the disinhibition circuit to LIP in a retinotopic manner where activity is correlated in the stimulus and cue driven pathways. In areas where the two pathways do not match, local inhibition in the disinhibition layer prevents neighbouring circuits' excitatory populations from outputting to LIP.The model exhibits effects of feature-based attention, such as the feature similarity gain principle and biased competition through interactions of stimulus and cue initiated neural activity. The dynamical nature of the model as neural populations of Wilson-Cowan differential equations allows the time-course of neural activity to be investigated.Although originally designed as a model for binding, the model replicates the experimental correlates of feature-based attention, which strongly suggests its functional role is actually binding An important prediction of the model is that local non-matches between cue and stimulus are the most important information projected from the ventral to the dorsal stream and that this interaction is highly non-linear. We present candidates for neural circuits implementing this interaction."}
+{"text": "In oncology, there is increasing interest in studying combinations of drugs to improve treatment efficacy and/or reduce harmful side-effects. Dual-agent Phase I clinical trials are primarily concerned with drug safety, with the aim to discover a maximum tolerated combination dose via dose-escalation; small cohorts of patients are given set doses of both drugs and monitored to see if any particular toxic reactions occur. Whether to escalate, de-escalate or maintain the current dose for either drug for subsequent cohorts is based on the number and severity of observed toxic reactions, and a decision rule.We propose a novel Bayesian phase I trial design for the study of two chemotherapeutic agents in combination based on a penalized D-optimality criterion. Patients are allocated to dose combinations that provide the most information about the two agents in combination and their interactive behaviour, subject to a penalty function that doses patients at combinations with a probability of toxicity close to some desired target level. Such a criterion compromises between population gain (maximizing information) and patient gain .We show how the design can be applied to a dual-agent Phase I dose-escalation study of Paclitaxel and an Aurora Kinase Inhibitor in combination. Our simulation studies show that the method provides accurate and tolerable recommendations for further clinical testing and has the ability to outperform other proposed methods."}
+{"text": "Here we: The trial recruits men with locally advanced or metastatic prostate cancer starting standard long-term hormone therapy. There are 5 research arms and 1 control arm. The trial has a pilot stage assessing safety and feasibility, 3 intermediate \u201cactivity\u201d stages (I-III) where the outcome measure is failure-free survival (FFS) and one final \u201cefficacy\u201d stage (IV) with overall survival as primary outcome measure. At the end of each stage, each research arm is formally compared pairwise to the control arm. Accrual of further patients is discontinued early for any research arm either not showing sufficient evidence of activity or with adverse safety considerations; accrual continues to arms showing activity with acceptable safety. The stopping guideline compares the treatment effect against a pre-defined cut-off value using the hazard ratio when the hazards are proportional and restricted-mean survival time otherwise. This interim hurdle becomes increasingly stringent stage-by-stage. The addition of new research arm(s) can be actively considered when sufficiently interesting agents emerge. New research arms are compared only to contemporaneously-recruited control arm patients using the same intermediate guidelines in a time-delayed manner. The addition of new research arms is independent of any of the original research arms stopping accrual early subject to adequate recruitment to support the overall trial aims.(1) After the second intermediate activity analysis (March-2011), the IDMC recommended and the Trial Steering Committee ratified discontinuation of recruitment to two research arms for lack-of-sufficient activity. Nearly 100 recruiting centres in UK and Switzerland had to promptly implement the changes. Detailed advanced preparation meant that activation was swift and recruitment continued seamlessly into Activity Stage III; MHRA and REC approval was not required because this was already included in the trial design. (2) An application to add a new research arm has been successfully approved by the CRUK\u2019s CTAAC funding committee and accepted by the relevant industry partner. Details on the methodological and practical issues and implementation of these changes will be presented.The STAMPEDE experiences shows that recruitment to MAMS trial is achievable and that mid-flow changes to trial design are practicable with good planning."}
+{"text": "Molecular Fragment Dynamics (MFD) is a mesoscopic simulation technique based on dissipative particle dynamics. The method has been shown to successfully describe the phase behaviour and interfacial tensions of large chemical systems in good agreement with experimental results . Unlike The current MFD fragment definition is based on a SMILES like one-dimensional line notation which is visualized with the Structure Diagram Generator of the Chemistry Development Kit (CDK) . For an This work provides an editor for the construction of peptides and proteins from molecular fragments. It includes building blocks for all 20 proteinogenic amino acids, their charged species and disulfide bonds. A flexible input of one-letter and three-letter amino acid codes is supported. Additionally, the editor has the capability to set charges of side chains manually or automatically."}
+{"text": "The enhanced levels of Hsp90 were detected in the serum of SLE patients. The elevated level of Hsp90 in SLE has also been correlated with increased levels of IL-6 and presence of autoantibodies to Hsp90. This suggests that Hsp90 may contribute to the inflammation and disease progression and that targeting of Hsp 90 expression may be a potential treatment of SLE. The pharmacologic inhibition of Hsp90 was successfully applied in mouse models of autoimmune encephalomyelitis and SLE\u2014like autoimmune diseases. Thus targeting Hsp90 may be an effective treatment for SLE, especially if combined with other targeted therapeutic approaches.Heat shock proteins (HSP) are a family of ubiquitous and phylogenically highly conserved proteins which play an essential role as molecular chaperones in protein folding and transport. Heat Shock Protein 90 (Hsp90) is not mandatory for the biogenesis of most proteins, rather it participate in structural maturation and conformational regulation of a number of signaling molecules and transcription factors. Hsp90 has been shown to play an important role in antigen presentation, activation of lymphocytes, macrophages, maturation of dendritic cells, and in the enhanceosome mediated induction of inflammation. Systemic lupus erythematosus (SLE) is a chronic autoimmune inflammatory disease with complex immunological and clinical manifestations. Dysregulated expression of Type I interferon Heat shock proteins (HSPs) are a family of ubiquitous and phylogenically highly conserved proteins and play an essential role as molecular chaperones in protein folding and transport within the cell . These p\u03b1 and HSP90-\u03b2), but the functional differences between these isoforms are not well understood [In vertebrates, two distinct genes encode inducible and constitutively expressed isoforms of the protein , which are generated as part of the heat shock response (HSR), to maintain cellular homeostasis and to develop cell survival functions. The heat-shock factors (HSFs) bind to the heat-shock element (HSE) in the promoters of the genes encoding hsps. Four heat shock factors (HSFs) have been identified and well characterized and their roles clearly elucidated. The functional role of HSF1 and HSF3 has been linked to regulating Hsps in response to thermal stress whereas HSF2 and HSF4 are involved in Hsp regulation in unstressed cells and have been linked to a wide variety of biological processes such as immune activation and cellular differentiation . The strInfection is a stressful process for both the pathogen and the host and therefore inevitably results in increased production of molecular chaperones by the pathogen as well as by the host. The conservation of HSPs through prokaryotes and eukaryotes, together with the increased production of host and microbial HSPs at the site of infection, suggests that cross-reactivity between host and pathogen HSPs might be responsible for a variety of autoreactive disorders that are associated with high frequency recognition of HSPs . In thisvia the TLR2- and 4-signal transduction pathways [Autoimmune diseases remain among the most poorly understood and recognized categories of illnesses in the world. Many autoimmune diseases are much more common in women than in men, and estrogens exacerbate systemic lupus erythematosus in murine models of the disease by altering the B-cell repertoire in the absence of inflammation . In addipathways . Chaperones function as stimulators of the innate immune system; HSPs have been also shown to play a role in generating antigen-specific T-cell responses . The proMisdirected immune responses target self-antigens and induce severe inflammatory responses, which is a typical sign of autoimmune diseases and sometimes cause death. In addition to numerous components in autoimmune responses, heat shock proteins (HSPs) have been also implicated in autoimmune and inflammatory diseases , 30. BecSystemic lupus erythematosus (SLE) is a chronic autoimmune inflammatory disease with complex immunological and clinical manifestations. Reduced immune tolerance and abnormal activation of T and B cells lead to autoantibody production mainly against protein-nucleic acid complexes, such as chromatin, and small ribonucleoprotein particles . These aAutoreactivity to HSP is often associated with autoimmune pathology. The investigations have demonstrated the presence of autoantibodies to the HSP90 in a significant proportion of patients with systemic lupus. Anti-HSP90 autoantibodies of the IgG class were detected in approximately 50% and 26% HSP90 is abundant in normal tissues and the relative increase found is difficult to explain the deposits. With these considerations, the results of the present study are in support of the hypothesis that anti-HSP90 autoreactivity is involved specifically in the renal pathology associated with SLE. IgG autoantibodies to HSP90 from SLE patients are found to be less idiotypically regulated within the normal IgG repertoire than natural anti-HSP90 antibodies. These results were supported by the demonstration of an antiidiotypic inhibition of natural anti-HSP90 autoantibodies by IgG antibodies which were more pronounced in normal than in SLE IgG. Thus, the complete IgG repertoire present therein seems to be beneficial in experimental SLE and primary antiphospholipid syndrome . FurtherAlthough lupus-like diseases can be caused by defects in many pathways of the immune system, studies suggest that one of the mechanisms for SLE is the defect in peripheral B- or T-cell tolerance as a result of chronic stimulation and activation of APCs. For example, chronic activation of Langerhans cells by ectopic CD40 ligand expression in the murine epidermis led to not only chronic skin inflammations but also systemic autoimmunity, including immune complex-mediated glomerular nephritis . ActivatHeat shock proteins have been implicated as endogenous activators for dendritic cells (DCs). Chronic expression of heat shock protein gp96 on cell surfaces induces significant DC activations and systemic-lupus-erythematosus- (SLE)-like phenotypes in mice . HoweverHSP90 has also been reported to play important roles in antigen presentation, activation of lymphocytes and macrophages, and activation and maturation of dendritic cells, indicating a potential treatment target for inflammatory diseases, including autoimmune diseases . This in"}
+{"text": "Chaos should occur often in gene regulatory networks (GRNs) which have been widely described by nonlinear coupled ordinary differential equations, if their dimensions are no less than 3. It is therefore puzzling that chaos has never been reported in GRNs in nature and is also extremely rare in models of GRNs. On the other hand, the topic of motifs has attracted great attention in studying biological networks, and network motifs are suggested to be elementary building blocks that carry out some key functions in the network. In this paper, chaotic motifs (subnetworks with chaos) in GRNs are systematically investigated. The conclusion is that: (i) chaos can only appear through competitions between different oscillatory modes with rivaling intensities. Conditions required for chaotic GRNs are found to be very strict, which make chaotic GRNs extremely rare. (ii) Chaotic motifs are explored as the simplest few-node structures capable of producing chaos, and serve as the intrinsic source of chaos of random few-node GRNs. Several optimal motifs causing chaos with atypically high probability are figured out. (iii) Moreover, we discovered that a number of special oscillators can never produce chaos. These structures bring some advantages on rhythmic functions and may help us understand the robustness of diverse biological rhythms. (iv) The methods of dominant phase-advanced driving (DPAD) and DPAD time fraction are proposed to quantitatively identify chaotic motifs and to explain the origin of chaotic behaviors in GRNs. In systems biology, gene regulatory networks (GRNs), a kind of biochemical regulatory networks, are widely described by coupled differential equations (ODEs) According to our understanding on the theory of nonlinear dynamical systems, strongly coupled high dimensional ODEs are very likely to show chaotic behaviors. Especially, chaos has been found in some chemical reactions both in experiments and simulations, such as the Peroxidase-Oxidase reaction Recently, the topic of motifs has attracted great interest in studying biological networks Dynamical motifs have been presented as a new approach to the study of the dynamics in networks In this paper, we concentrate on chaotic behaviors of autonomous GRNs and address the above issues by answering the following questions: considering the crucial conditions for chaos in GRNs, why chaos is so rare; and are there some simple patterns namely chaotic motifs in complex GRNs serve as the basic building blocks for chaotic motions. We extensively search for chaos in low-dimensional GRNs Some period-It can be inferred from We analyze the chaotic behaviors of some chaotic samples in Similar concept can be also defined for 4-node GRNs. In to chaos and persto chaos . These oIt is of special importance to investigate what kinds of GRNs can serve as chaotic motifs. We define chaotic motifs as those irreducible chaotic subnetworks which have the fewest feedback loops and the least cross interactions All these motifs have two feedback loops (the fewest feedback loops for chaotic motifs); (ii) At least one of the two loops is NFL. We exhaustively search all 3-node and 4-node GRNs with minimal (irreducible) interactions satisfying the above two conditions, and eventually find 19 distinct 3-node and 86 distinct 4-node candidates of chaotic motifs. With all the With further investigation on the network structures of the chaotic motifs in Extensive numerical simulations with these The reason for condition (iii) can be intuitively understood based on the the competition between different oscillatory modes. It is known that NFLs can support self-sustained oscillations while PFLs alone can not All 3-node and 4-node TLSs which satisfy conditions (i) and (ii) while violate condition (iii) are listed in The mechanism underlying condition (iv) is not yet clear. Competition between the two loops of chaotic motifs is essentially determined by the dynamics of the dual-input nodes It is remarkable that all the chaotic motifs discovered in In Besides, it is also interesting to study some distinct differences between simple periodic oscillations and chaotic motions by applying the method of in in and domiIn the above discussion, chaotic motifs are defined as the minimal and irreducible building blocks for chaotic motions in GRNs. By analyzing the structures of the chaotic GRNs in n\u22654.For any given GRN, we can find all the TLSs embedded in it. An example of such computation is shown in By the above definition, we can get different There are usually many feedback loops (far more than two loops) in chaotic GRNs, and the competitions among these loops to produce chaos turn out to be very complicated. The significant motifs effectively producing chaos shown in are remaIt is remarkable that among all the TLSs with In conclusion, we studied chaotic behaviors in genomic regulatory systems, and found rich chaotic states in few-node GRNs and TLSs. The rareness of chaos in GRNs is due to the fact that chaos can appear only through competitions among different oscillatory modes under a number of strict conditions. Usually, GRNs do not construct effective oscillatory feedback loops, or build only single strong feedback loops dominating their dynamics Chaotic motifs are explored as the minimal and irreducible building blocks satisfying some conditions for chaotic motions (three necessary conditions (i)\u2212(iii) and sufficient conditions (i)\u2212(iv) on the structures of cross interactions) and serve as the intrinsic source of chaos of random few-node GRNs. Some motifs show atypically high probabilities of chaos. Methods of DPAD and Chaotic GRNs usually have very complex structures and contain various regulatory circuits much more than TLSs. It is our future work to recognize the few dominant oscillatory modes essentially determining the chaotic motions from probably large numbers of topological feedback loops in GRNs. DPAD and We find a large set of chaotic TLSs (chaotic motifs) and the topological conditions for chaos in GRNs by simulations. It is interesting whether these indeed make sense in real GRNs. For example, the P53 system, a crucial complex GRNs for regulating cell cycle and suppressing tumor, has many feedback loops. The core regulative structure of P53 system has been pointed out by a recent study We hope that the findings in the present work may give some impacts on the investigation of extremely rich behaviors of nonlinear dynamics and pattern formation in various biochemical systems, and contribute to exploring mystery biological functions and effects caused by chaotic regulatory networks.j activates gene i, In this paper, we discuss the chaotic dynamics of few-node autonomous GRNs by using a model of ODEs. The main conclusions of this article do not depend on the detail of the model, and can be extended to a class of models with monotonic regulatory functions. We use the following simplified genomic regulatory model where isSearching for chaos: (i) In The idea to make the DPAD analysis is that any single node of a GRN They have two feedback loops (the fewest feedback loops); (ii) At least one of the two loops is NFL. We exhaustively search all 3-node and 4-node two-loop structures satisfying the above two conditions. Figure S1The Complete set of distinctive 3-node and 4-node TLSs satisfying conditions (i) and (ii), serve as possible candidates of chaotic motifs. All the 105 TLSs are listed (4-node (1)\u2212(86) and 3-node (87)\u2212(105)) with the corresponding indexes used in the text and other figures.(EPS)Click here for additional data file."}
+{"text": "Ohtahara syndrome is the earliest appearing age-related epileptic encephalopathy with seizures first presenting as early as the neonatal period and is diagnosed with a characteristic burst-suppression pattern on EEG and Munc13, and indeed neurotransmitter release is completely abolished in STXBP1-deficient cells (Verhage et al., The formation of the SNARE fusion complex in vivo would cause very little side-effects. Another key consideration is the fact that the syntaxin1a-SNAP25 interaction also occurs in the functional SNARE fusion core complex and its structural elements appear largely indistinguishable in nature form its non-productive counterpart (Margittai et al., The findings of Ma et al. were most intriguing as it suggested a novel role for STXBP1 in the disassembly of non-productive SNARE complexes and the resulting generation of a productive STXBP1-syntaxin1a sub-complex starting point of SNARE fusion complex assembly. Indeed, due to their stability, the disassembly of the non-productive SNARE complexes may represent a slow rate-limiting step in the pathway toward productive fusion complex assembly. Thus in situations where the number of functional STXBP1 molecules is reduced, such as occurs in STXBP1 haploinsufficieny, progress through the neurotransmitter release pathway is likely to be severely compromised. It may be possible however that increasing the incidence of disassembled syntaxin1a monomers in the presynaptic plasma membrane would counterbalance situations where there is a reduced amount of STXBP1 molecules so that the balance of syntaxin1a-STXBP1 complex formation is restored (Figure Targeting protein-protein interfaces of multiprotein complexes has become a significant focus in drug discovery (Higueruelo et al., in vivo. Thus with the combination of clinical genetics, cell biology, and structural biology knowledge at hand, and the potential offered by PPI inhibitors in targeted drug design, we could be on the way to developing a targeted anticonvulsant therapy for the treatment of a particularly devastating class of epileptic disorder.Thus several examples of the successful development of alpha-helical PPI inhibitors have been previously described and the interested reader is referred to previous excellent reviews (Cummings and Hamilton, It is perhaps also noteworthy that in stxbp1-null mice, although neurotransmitter release was completely abolished, neural differentiation and brain assembly occurred normally. But apoptosis in mature neural cells then caused neurodegeneration throughout the brain resulting in death of the null-mice. This may be consistent with the observation that anatomical brain abnormalities can be observed in Ohtahara syndrome patients and less frequently in West syndrome patients (Barcia et al.,"}
+{"text": "The purpose of this paper is to show that graph theory provides a mathematical tool to develop theory-driven biomarkers of pro-cognitive drug effects, and also to discuss how these approaches can contribute to the understanding of the role of cholinergic and noradrenergic modulation in the human brain. Finally we discuss the \u201cglobal workspace\u201d theory as a theoretical framework of pro-cognitive drug effects and argue that pro-cognitive effects of cholinergic and noradrenergic drugs might be related to higher network integration.Previous studies document that cholinergic and noradrenergic drugs improve attention, memory and cognitive control in healthy subjects and patients with neuropsychiatric disorders. In humans neural mechanisms of cholinergic and noradrenergic modulation have mainly been analyzed by investigating drug-induced changes of task-related neural activity measured with functional magnetic resonance imaging (fMRI). Endogenous neural activity has often been neglected. Further, although drugs affect the coupling between neurons, only a few human studies have explicitly addressed how drugs modulate the functional connectome, i.e., the functional neural interactions within the brain. These studies have mainly focused on synchronization or correlation of brain activations. Recently, there are some drug studies using graph theory and other new mathematical approaches to model the brain as a complex network of interconnected processing nodes. Using such measures it is possible to detect not only focal, but also subtle, widely distributed drug effects on functional network topology. Most important, graph theoretical measures also quantify whether drug-induced changes in topology or network organization facilitate or hinder information processing. Several studies could show that functional brain integration is highly correlated with behavioral performance suggesting that cholinergic and noradrenergic drugs which improve measures of cognitive performance should increase functional In the recent years there has been an intensive debate on how to take advantage of brain imaging techniques, in particular functional magnetic resonance imaging (fMRI) to investigate the role of neurotransmitter systems in the human brain. fMRI measurements basically capture blood oxygenation within brain regions via the so-called blood oxygen level dependent (BOLD) contrast which was shown to be related to the processing of neuronal activity within brain regions x n correlation matrix is computed to estimate the adjacency between nodes. In many studies, the adjacency matrix is thresholded to exclude edges which reflect noise and to receive binary entries representing the presence or absence of an edge between two nodes.Characterize the network topology: Based on these binary adjacency matrices the network graphs are visualized and graph-theoretical measures which describe the topology of the brain network are computed and compared between different groups or conditions.The basic principles of graph theory have been described elsewhere a modular or cliquish structure that consists of highly connected sub-networks and (2) small shortest-path-lengths with few edges between nodes (Watts and Strogatz, There is strong empirical evidence that variation in network integration and network efficiency correlates with cognitive performance. This correlation has been shown, for example, for higher IQ (Hampson et al., The reported empirical correlations between functional brain network topology and behavioral performance fit with contemporary network theories of information processing in the brain, like the \u201cbrainweb\u201d (Varela et al., Only a few studies have used complex network analyses to investigate drug effects. We will thus mention also studies outside the cholinergic and noradrenergic system to underline the feasibility of graph analytical approaches in understanding drug effects. Complex network analyses have been previously used to partition functional brain networks into communities of densely interconnected nodes after drug challenge (Schwarz et al., Even though different drugs or other experimental conditions might have similar effects on network topology on the global, whole brain level, the underlying mechanisms might be quite different. For example, Achard and Bullmore showed tLong-lasting endogenous brain states interact with task-related processing (Li et al., specific and a task-unspecific effect on functional resting state topology. Within the placebo condition the performance of both tasks have similar effects on the following resting state periods. However, within the drug condition only the effect of task 1 on the following resting state topology is affected.To investigate drug effects on endogenous and task processing we suggest to measure both processes during different time periods (see Figure Functional connectivity analyses have to deal with indirect or mediated correlations: a correlation between the time series of brain regions X1 and X2 can be mediated by a second common source X3 without any direct correlation between X1 and X2 (Erhardt et al., In healthy individuals as well as in many patient groups the effects of pro-cognitive drugs have been described to be modest (Husain and Mehta, On behavioral level, there is the first evidence that long-term nicotine treatment improves cognitive performance in patients with mild cognitive impairment (Newhouse et al., The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "In Africa and western Eurasia, occurrences of burials and utilized ocher fragments during the late Middle and early Late Pleistocene are often considered evidence for the emergence of symbolically-mediated behavior. Perhaps less controversial for the study of human cognitive evolution are finds of marine shell beads and complex designs on organic and mineral artifacts in early modern human (EMH) assemblages conservatively dated to \u2248100\u201360 kilo-years (ka) ago. Here we show that, in France, Neanderthals used skeletal parts of large diurnal raptors presumably for symbolic purposes at Combe-Grenal in a layer dated to marine isotope stage (MIS) 5b (\u224890 ka) and at Les Fieux in stratigraphic units dated to the early/middle phase of MIS 3 (60\u201340 ka). The presence of similar objects in other Middle Paleolithic contexts in France and Italy suggest that raptors were used as means of symbolic expression by Neanderthals in these regions. Nassarius specimens) and fragments of ocher pigments in Israel, the Maghreb and South Africa indicate that late Middle and early Late Pleistocene EMHs were capable of symbolically-mediated behavior In recent years, several studies have argued that early (\u2248100\u201370 ka) occurrences of marine shell beads and large-sized raptors . Although cutmarks were also observed on non-raptorial species , the over-representation of raptors in the cutmark sample and the anatomical distribution of these marks\u2014all are found on wing and foot bones\u2014suggest a symbolic, rather than alimentary, use of bird parts by Neanderthals In Europe and southwest Asia, marks of human activity are rare on bird bones before the Upper Paleolithic, which suggests that this class of prey species was seldom eaten or utilized All the unidentified and taxonomically identified bird specimens from Combe Grenal and Les Fieux were inspected for cutmarks using a stereomicroscope at low magnification. The cutmarks that we identified are unambiguous and fall well within the range of those documented in ungulate taxa Equus ferus caballus), roe deer (Capreolus capreolus) and red deer (Cervus elaphus) Combe Grenal is a Middle Paleolithic site in the Dordogne region of France with a remarkably long (13 m) sequence comprising sixty-five stratigraphic layers n\u200a=\u200a7) of bird bones, all but one assigned to small indeterminate species. The only taxonomically identified bird remain in this sample is a terminal phalanx of a golden eagle (Aquila chrysaetos). This well-preserved specimen bears on its proximo-dorsal side two incisions produced by a stone tool. These incisions closely coincide with the proximal margin of the keratinous sheath overlying the terminal phalanx of the digit, which suggests removal of the claw sheath , one from stratigraphic unit Jbase and the other from the possibly coeval unit I/J . Moreover, tool marks on ground-feeding (Phasianidae) and water-adapted birds are poorly represented in the French-Italian cutmark sample (1/21 or 4.8%). These taxa, which became economically important during the Upper Paleolithic 2\u200a=\u200a28.1, p<.0001). Together, these patterns attest to a non-subsistence oriented use of diurnal raptors by Neanderthals during the Middle Paleolithic of France and Italy.The selective use of raptors by at least some Neandertal groups is confirmed by taxonomic data. According to ca. 20 ka) at Meged Rockshelter in Israel Because claws are inedible, the specimens presented here are not compatible with human consumption. This means that the tool-marked terminal phalanges found at Combe-Grenal, Les Fieux, Pech de l'Az\u00e9 IV, and Grotta di Fumane were likely used as tools and/or as items of symbolic expression. Although the sample size is small, the fact that all the terminal phalanges that show cutmarks are from eagles argues against their utilization in strictly non-symbolic contexts. This last pattern is noteworthy because eagles are among the rarest birds in the environment, a pattern explained by their high trophic position in the food web These results do not exclude occasional consumption by archaic humans of large diurnal raptors. Two previously unpublished Mousterian specimens present cutmarks on meat-bearing portions . AlthougThese results cast additional light on Neandertal behavioral adaptation by suggesting the rise in this population of complex cognitive abilities similar to those of coeval EMH. Moreover, the use of raptor terminal phalanges during several temporal phases of the French Mousterian may indicate continuity in behavior in this region, although the possibility of simple convergence cannot be excluded. More research on bird remains will be required to fully assess the implications of these patterns."}
+{"text": "In primary health-care (PHC) settings, less than 10% of hazardous and harmful drinkers are identified, and less than 5% of those who could benefit are offered brief interventions (BIs). Delivery of BI adds up to 15 minutes to the primary consultation, constituting a significant barrier to implementation by PHC professionals. A review of trials of computer-based interventions (on- and off-line) for college drinkers found them to be more effective than no treatment and as effective as alternative treatment approaches. The recent large-scale trial of the online Down Your Drink (DYD) intervention found potentially significant reductions in alcohol consumption and risky drinking behavior, but there was evidence that users of the DYD website made only relatively limited use of it . Facilitated access by professionals in PHC settings could not only increase patient engagement but also address the \"know/do\u201d gap in PHC by removing the need for providers to deliver a time-consuming face-to-face intervention. The University College of London eHealth team has undertaken an exploratory qualitative study using interviews and participant observation of facilitated access to DYD at PHC practices in two London localities (Kingston and Islington) to assess acceptability and uptake. Preliminary results suggest good levels of acceptability and uptake of facilitated access to DYD. Findings are presented together with proposals for a noninferiority international randomized controlled trial to determine whether there is similarity in outcomes in patients identified as risky drinkers who receive facilitated access to an alcohol reduction website and those who receive conventional face-to-face BIs. Research is needed to determine whether PHC-based facilitated access to alcohol reduction websites can reduce the \"know/do\" gap in primary-care alcohol screening and intervention."}
+{"text": "The exercise pressor reflex (EPR) is a neural control mechanism responsible for the cardiovascular responses to exercise. As exercise is initiated, thin fiber muscle afferent nerves are activated by mechanical and metabolic stimuli arising in the contracting muscles. This leads to reflex increases in arterial blood pressure (BP) and heart rate primarily through activation of sympathetic nerve activity (SNA). Studies of humans and animals have indicated that the EPR is exaggerated in a number of cardiovascular diseases. For the last several years, studies have specifically employed a rodent model to examine the mechanisms at receptor and cellular levels by which responses of SNA and BP to static exercise are heightened in peripheral artery disease (PAD), one of the most common cardiovascular disorders. A rat model of this disease has well been established. Specifically, femoral artery occlusion is used to study intermittent claudication that is observed in human PAD. The receptors on thin fiber muscle afferents that are engaged in this disease include transient receptor potential vanilloid type 1 (TRPV1), purinergic P2X, and acid sensing ion channel (ASIC). The role played by nerve growth factor in regulating those sensory receptors in the processing of amplified EPR was also investigated. The purpose of this review is to focus on a theme namely that PAD accentuates autonomic reflex responses to exercise and further address regulatory mechanisms leading to abnormal sympathetic responsiveness. This review will present some of recent results in regard with several receptors in muscle sensory neurons in contribution to augmented autonomic reflex responses in PAD. Review of the findings from recent studies would lead to a better understanding in integrated processing of sympathetic nervous system in PAD. During exercise, sympathetic nervous activity (SNA) increases and this leads to rises in blood pressure (BP) and heart rate (HR), myocardial contractility, and peripheral vasoconstriction in the hindlimb muscles and dorsal root ganglion (DRG) neurons of rats protein expression of TRPV1, P2X3, and ASIC3 receptors in DRG and their responses with stimulation of those receptors are increased after femoral artery ligation and (2) NGF contributes to augmented reflex SNA and BP responses evoked by stimulation of metabolically sensitive muscle afferent nerves via enhancement of metabolic receptors expression such as ASIC3 in thin C-fiber afferent neurons.A number of studies have been performed to examine how the muscle reflex mediated-SNA is engaged via sensory receptors mechanism. This review will focus on the roles of TRPV1, P2X, and ASICs receptors on muscle sensory nerves in mediating the exaggerated sympathetic response in hindlimb muscle ischemia seen in PAD patients. Note that those receptors to be studied appear at the peripheral terminals and the cell body of the sensory afferent neurons-DRG Figure . Especiain vitro and in vivo and inflammatory mediators themselves have been identified as potential endogenous ligands for the C-fiber \u201ccapsaicin\u201d receptor. Hydrogen ions (H+) in general and lactic acid in particular have been shown to activate C-fiber afferents similar to the effect seen with capsaicin to vanilloid receptors, a finding that was attributed to competition for the same binding site in the muscle interstitium. It has been reported that TRPV1 and ASIC play a coordinated role in the processing of muscle sensory signals contributes to regulation of discharges of vagal lung thin afferent fiber nerves receptors are engaged in processing chronic ischemia of the hindlimb muscles , depend on GDNF for survival during postnatal development, and are relatively \u201cpeptide poor\u201d but express a surface carbohydrate group that binds IB4 are distinct as IB4-positive, and -negative DRG neurons (Xing et al., 4-negative DRG neurons but not in IB4-positive DRG neurons. These findings suggest that NGF plays a role in augmented TRPV1 responses in the processing of muscle ischemia or vascular insufficiency induced by the femoral artery occlusion (Xing et al., The data show that arterial occlusion augments responses with activation of metabolite sensitive TRPV1 receptors in IBFurthermore, infusion of NGF into the hindlimb of healthy rats through a micro-osmotic pump induces 1.39-fold increases in P2X3 protein of the DRGs of the infused leg as compared to the control leg (Liu et al., Finally, the role of NGF in regulating the enhanced sympathetic responsiveness during stimulation of primary muscle afferent nerves was examined as the blood flow directed to hindlimb muscles is insufficient following femoral artery ligation. In the first set of experiments, NGF-Ab was previously injected into the hindlimb muscles to block effects of NGF that were induced by femoral occlusion. Then, mechano- and/or metabo-sensitive afferents nerves were activated by three interventions, namely muscle contraction, tendon stretch, and stimulation of ASICs using lactic acid. The data demonstrate that NGF neutralization significantly attenuates femoral occlusion-augmented reflex sympathetic and BP responses evoked by static contraction and lactic acid, but not by muscle stretch. Given that administration of NGF-Ab into the hindlimb muscles significantly attenuates occlusion-enhanced protein levels of ASIC3 in DRG tissues, these results suggest that NGF that is increased in sensory nerves of occluded limbs contributes to augmented reflex SNA and BP responses to stimulation of chemically, but not mechanically sensitive muscle afferent nerves. Also, this study has examined whether NGF is engaged in the role of sensory nerves\u2019 ASIC3 in augmented responses evoked by the hindlimb vascular insufficiency. In the second set of experiments, effects of NGF on expression of ASIC3 in DRG neurons that project thin C-fiber and A-fiber were examined. NGF infused into the hindlimb muscles significantly increases the protein levels of ASIC3 in DRG and selectively increase expression of ASIC3 in DRG neurons that project C-fiber afferents. Thus, these data support the hypothesis that NGF plays a role in exaggeration of the muscle metaboreflex via enhancement of ASIC3 expression in thin C-fiber afferent neurons.Peripheral artery disease affects life styles in 20% of adults who are older than 65\u2009years. The narrowing of blood vessels of the lower limbs, mainly due to atherosclerotic vascular disease, is a main cause of PAD. Intermittent claudication is the most common symptom of this disease and it regularly occurs during exercise/physical activity but is relieved promptly by rest. It is well known that the sympathetic nerve system plays an important role in regulating blood flow directed to skeletal muscle tissues during exercise. Thus, the goal of those studies was to examine the role of metabolite sensitive receptors on muscle afferent neurons in the responses of SNA after limiting blood flow to hindlimb muscle, as seen in PAD. Currently, several studies using a rat model of femoral artery ligation show that sympathetic responses of the EPR engagement are exaggerated as seen in PAD patients. Findings of the completed studies also suggest that enhanced protein levels of TRPV1, P2X3, and ASIC3 in muscle afferent nerves and amplified responses of those receptors contributes to the exaggerated reflex sympathetic and pressor responses to their individual receptor stimulus (Figure The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "The United States has the world's highest prison population, and an estimated one in seven HIV-positive persons in the USA passes through a correctional facility annually. Given this, it is critical to develop innovative and effective approaches to support HIV treatment and retention in care among HIV-positive individuals involved in the criminal justice (CJ) system. Information and communication technologies (ICTs), including mobile health interventions, may offer one component of a successful strategy for linkage/retention in care. We describe CARE+ Corrections, a randomized controlled trial (RCT) study now underway in Washington, that will evaluate the combined effect of computerized motivational interview counseling and postrelease short message service (SMS) text message reminders to increase antiretroviral therapy (ART) adherence and linkage and retention in care among HIV-infected persons involved in the criminal justice system. In this report, we describe the development of this ICT/mHealth intervention, outline the study procedures used to evaluate this intervention, and summarize the implications for the mHealth knowledge base. The criminal justice system in the USA comprised prisons, jails, and community supervision programs including probation and parole and incarcerates more persons than any other nation in the world which disproportionately affects persons of color, the economically disadvantaged, and those who suffer from mental illness , 2. In 2It has been estimated that one in seven HIV-infected persons in the USA passes through correctional facilities in a given year , and forThe Washington, DC Department of Corrections (DOC) Central Detention Facility (CDF) has conducted routine opt-out HIV testing since 2006. The HIV prevalence among the Washington, DC DOC population has been estimated to be between 5-6% and among those completing HIV testing upon entrance, close to 1% test positive and among those, 60% represent new HIV diagnoses . These dWe took a user-centered design approachn = 12) and Washington DC (n = 12) among HIV positive persons with a history of recent incarceration. Participants were asked about their perceptions of the acceptability, usability, and ideas for best practices regarding ICT/mHealth tools including (1) the computer-based counseling intervention; (2) cell phone technology; and (3) text messaging. The returning citizens in this qualitative study reported positive experiences when testing an older version of the CARE+ computerized counseling platform and provided favorable feedback regarding the use of technology-based tools to facilitate linkage to HIV care in the community and adherence to HV medications. Participants with little to no experience using a computer reported feeling comfortable using the tool and felt that the tool would provide more confidentiality than a live counselor. In addition, participants identified additional content that would be relevant for the criminal justice population, including substance use and housing support. To inform the development of the CARE+ corrections intervention, we conducted formative research with individuals released from either jail or prison in the District of Columbia and Rhode Island to determine perceptions of using technology-based tools designed to facilitate linkage to community-based care and viral suppression for HIV-positive jail detainees on ART being released to the community. A complete description of this formative research is reported separately , but briTo develop the SMS text message component of the intervention, we reviewed published and unpublished mHealth resources to develop a library of relevant text messages a counseling session delivered on the CARE platform prior to jail release or soon after release in the community and (2) the SMS text messaging intervention delivered in the community after release. The computerized counseling session on the CARE platform will consist of a one-time, interactive session delivered on a standalone basis on a tablet computer with a touch screen. The session is audio-narrated and 30\u201340 minutes in length during which participants provide responses to questions about demographic characteristics, sexual risk behaviors and attitudes, substance use, mental health, and HIV treatment and adherence. Based on this assessment, the tool provides tailored feedback messages, displays skill-building videos for participants to view to support the delivered feedback, and allows users to make a postrelease health promotion plan to support ART adherence and linkage to community care. Finally, a printout provides a referral list that is customized to meet their identified needs . The couThe cell phone text messaging component of the intervention will be delivered in the community after release from jail. Participants will receive a study cell phone or use an existing personal cell phone for delivery of the text messages to support the participant's linkage plan. Text messages are divided into four distinct categories addressing specific issues related to linkage to care: (1) appointment reminders; (2) medication adherence, (3) HIV secondary prevention, and (4) barriers to care . ParticiThe effectiveness of the combined intervention with respect to improving linkage to community HIV care after release and maintaining viral suppression on ART after jail release is being evaluated in a randomized controlled trial among 320 HIV-positive persons in Washington, DC. One-half of the study participants will be randomized to the combined CARE+ Corrections intervention. To achieve a level of intervention equity among study participants, those in the control arm will also view an educational video related to the prevention of overdose following release. All study participants will also receive standard discharge planning services. We will follow all participants for 24 weeks after release for those recruited in the DOC or from the time of study entry for those recruited from the community during which we will conduct follow-up assessments at 12-week and 24-week appointments to determine if linkage to care and adherence to HIV medications were higher in the intervention arm. Monthly check-in phone calls and/or in-person meetings will be used to update locator information and to adjust the content and frequency of text messaging. The main outcome of the trial is the overall proportion of participants in each arm with suppressed HIV viral load; secondary outcomes include attendance at community-based HIV care appointments and self-reported ART adherence. The cost effectiveness of the intervention to support linkage and engagement in care also will be assessed. Using the outcomes as observed within the trial, these analyses will examine the costs per outcome measure from both the correctional system and the community or societal perspective. Because the proposed trial is limited in the duration of observation yet induced benefits or costs may extend beyond the time horizon of the study; we will project future implications of the observed trial outcomes on health and on costs using Markov or simulation models.The study protocol was approved by the George Washington University IRB (primary), the Miriam Hospital IRB, and the Office of Human Subjects Research Protection (OHRP).We will test whether our combined ICT intervention consisting of an interactive tablet-based counseling tool delivered in jail before release or immediately after release combined with an SMS text messaging intervention delivered in the community can support this highly vulnerable group of returning citizens who are living with HIV. These returning citizens often are struggling with active substance use and facing challenges related to poverty, unemployment, and unstable housing all of which create barriers to being retained in continuous HIV care . We hypo"}
+{"text": "Organized infection control (IC) programs have been successful in reducing the hospital-acquired infections (HAI). However, in India well organized IC programmes are confined to few corporate hospitals in urban areas. Rural community hospitals, although contributing significantly to the health care system, have none or inadequate IC programmes.We here report the successful implementation of infection control program to a rural hospital for the first time in India.As a part of novel imitative to provide IC program to a 50 bed rural community hospital, infectious disease physician from the urban hospital visited the hospital periodically & through tele-conferences assessed baseline status & implemented the infection control program.At baseline (October 2012) there was only two member infection control committee on paper without regular meetings, hand hygiene faculties were at the end of each ward with soap and water facility and compliance rate of 10%, no education program regarding infection control & prevention was conducted, and no HAI surveillance was done and finally no antibiotic stewardship program was present in the hospital. In the next 6 months (March 2013) with the infection control implementation the IC team expanded to include nurse, infectious disease physician and housekeeping staff with regular monthly meetings. Alcohol hand rub was introduced at each bed side of patient with subsequent improvement in the hand hygiene compliance to 50%. Regular infection control education to both physicians and staff were started in person and through tele-medicine. HAI surveillance for catheter associated urinary tract infection and surgical site infection was initiated. Antibiotic stewardship in the form of removing irrational combinations from the pharmacy and single dose surgical peri-operative antibiotic prophylaxis was initiated.With trained personnel & technology the Implementation of infection control program to rural community hospital is reality in India. The IC program implementation improves the IC knowledge, hand hygiene compliance and antibiotic prescriptions in the rural settings. In the future this model should be replicated to other smaller rural hospitals in India.None declared"}
+{"text": "It has been 50 years since Anfinsen first showed that the native structure of protein molecules is determined solely by their amino acid sequence, with the folded state representing a unique and kinetically accessible minimum of the free energy . This fiBMC Biology in 2007 is an extension of the TASSER algorithm for iterative structure assembly and refinement of protein molecules [The I-TASSER (Iterative Threading ASSEmbly Refinement) method that we published in olecules . The ideolecules , which molecules ) is showolecules ). Nevertolecules .ab initio protein folding [The idea of model assembly iterations driven by structure alignments has recently found promising uses in both atomic-level structure refinement and folding ,8. Start folding , a metho folding , where aab initio folding as the probe to detect new templates. Since the probe models were constructed from scratch, any reasonable match of the ab initio models with real experimental proteins is significant and often indicates correct folding template identifications. Figure th CASP experiment, a community-wide experiment designed to assess computational methods with all modeling predictions generated before the experimental structures are released [ab initio protein folding algorithm that assembles structural models from random conformations as guided by a composite physics- and knowledge-based force field [As the success of structure assembly iterations relies on the new structural information introduced in the simulations, more efficient structural improvements were achieved when using the models built by released . In thesce field . Based oab initio modeling in both fold-recognition and structure refinement procedures, the development of efficient ab initio folding algorithms will remain a major theme in the field and should have important impacts on all aspects of protein structure predictions.The major goal of protein structure prediction is to help understand the biological roles of protein molecules in living cells. Since the launch, at the beginning of this century, of structural genomics projects that aim to solve experimentally the structure of a set of proteins covering all representative structural types in nature , the genhttp://www.biomedcentral.com/bmcbiol/series/tenthanniversary.This article is part of the BMC Biology tenth anniversary series. Other articles in this series can be found at"}
+{"text": "A 2011 report from the National Lung Screening Trial indicates that three annual low-dose computed tomography (LDCT) screenings for lung cancer reduced lung cancer mortality by 20% compared to chest X-ray among older individuals at high risk for lung cancer. Discussion has shifted from clinical proof to financial feasibility. The goal of this study was to determine whether LDCT screening for lung cancer in a commercially-insured population (aged 50\u201364) at high risk for lung cancer is cost-effective and to quantify the additional benefits of incorporating smoking cessation interventions in a lung cancer screening program.The current study builds upon a previous simulation model to estimate the cost-utility of annual, repeated LDCT screenings over 15 years in a high risk hypothetical cohort of 18 million adults between age 50 and 64 with 30+ pack-years of smoking history. In the base case, the lung cancer screening intervention cost $27.8 billion over 15 years and yielded 985,284 quality-adjusted life years (QALYs) gained for a cost-utility ratio of $28,240 per QALY gained. Adding smoking cessation to these annual screenings resulted in increases in both the costs and QALYs saved, reflected in cost-utility ratios ranging from $16,198 per QALY gained to $23,185 per QALY gained. Annual LDCT lung cancer screening in this high risk population remained cost-effective across all sensitivity analyses.The findings of this study indicate that repeat annual lung cancer screening in a high risk cohort of adults aged 50\u201364 is highly cost-effective. Offering smoking cessation interventions with the annual screening program improved the cost-effectiveness of lung cancer screening between 20% and 45%. The cost-utility ratios estimated in this study were in line with other accepted cancer screening interventions and support inclusion of annual LDCT screening for lung cancer in a high risk population in clinical recommendations. Despite reductions in cigarette consumption and adult smoking prevalence in the years following publication of the 1964 Surgeon General's Report This study is the third in a series that applied actuarial mortality and payer cost analytics to the feasibility of early lung cancer detection and treatment. The first study explored the huge mortality differences between early stage and late stage lung cancer that emerge from national cancer registry data Since our first study was published, a large randomized controlled trial, the National Lung Screening Trial (NLST), was stopped early when data showed a 20% reduction in lung cancer mortality in the LDCT screening arm compared to the chest x-ray (CXR) arm after a baseline and two follow-up scans, with no significant adverse effects of the screening program Despite the large population-based studies and randomized controlled trials of LDCT screening for lung cancer, there continues to be debate on recommending screening at the population level. A 2012 systematic review of LDCT screening for lung cancer by Bach et al. concluded that screening may benefit individuals at high risk of lung cancer, though the bulk of the conclusions focused on the potential harms of screening due to follow-up investigations, biopsies, and surgical procedures in patients with benign lesions Given the tremendous potential for improved diagnosis, treatment and survival from lung cancer screening, several studies have been conducted to examine the cost-effectiveness of these programs. Two studies from 2001 simulated the effect of LDCT compared to no screening in a hypothetical cohort aged 60\u201374 at high risk of lung cancer over a five-year time horizon; both used data from the Early Lung Cancer Action Project (ELCAP) cohort study An important distinction in comparing lung cancer screening to other cancer screening is the concentration of lung cancer risk among former or current smokers. Among adults with lung cancer, 21% report being current smokers, 61% former smokers and 18% never smokers The current study builds upon our two previous studies Details on the previous model have been published elsewhere The current study expands the previous model by estimating the QALYs saved by lung cancer screening and treatment, incorporating the impact of smoking cessation interventions on costs, health care costs saved, and QALYs saved, and addressing the impact of lung cancer screening on economic output. As with the earlier model, a 2-year lead time was assumed for all screening-detected cancer and we used the New York ELCAP data to inform our base case. In this model, we estimate the incremental effect of screening or screening plus cessation treatment over no screening. We used a previous published The previous model used data from the New York ELCAP for probability of detecting lung cancers at Stages A, B, and C using LDCT The hypothetical cohort in this study was comprised of individuals with a 30 pack-year history of smoking, and the probability of survival for those without lung cancer accounted for gender, age and smoking status (current or former), which were estimated using results from a 1997 paper by Schoenbaum Quality adjusted life years were estimated by multiplying the probability that an individual survives to each future year by a utility weight related to age, sex and stage of lung cancer. Utility weights for the general population of males and females aged 50\u201359 and 60\u201369 were obtained from a study using the SF-6D and standard gamble technique in a nationally-representative sample Treating Tobacco Use and DependenceIn the previous model Input parameters on the costs and effectiveness of the smoking cessation interventions are presented in We conducted a range of sensitivity analyses to the test the robustness of our findings, including using NLST rather than ELCAP data on stage-shift as a result of LDCT screening for lung cancer, varying the utility weights used in estimating QALYs by ten percent, and increasing the cost of screening to 125% and 150%. We also present results for four types of smoking cessation interventions in two categories: light and intensive. Further, we examine the inclusion of health care costs incurred among quitters in the cost of the cessation program, as well as a ten percent change in the participation and quit rates of each program and the ex-smoker mortality rate. Because the medical cost component of the CPI tends to understate medical inflation we produced a sensitivity scenario by trending dollar values of other preventive health interventions to 2012 USD at twice the medical CPI.Assuming annual LDCT screenings are given over 15 years to a cohort of high risk adults aged 50\u201364, the projected cost of lung cancer screening and treatment in the base case averaged $1.8 billion per year and yielded 985,284 QALYs over the 15-year period. The resulting cost-utility ratio comparing 100% participation in repeat annual LDCT screenings to no screening was $28,240 per QALY gained . The ligSensitivity analyses examined the robustness of the results to variations in model parameters. We compared the cost per QALY saved of the current LDCT screening protocol to studies of the cost-effectiveness of lung cancer screening and other preventive health interventions, including colon cancer screening By reducing deaths of individuals during productive years, lung cancer screening is also likely to increase economic output. To provide insight into this issue, we estimated the incremental annual wages due to screening, and the resulting taxes and total economic impact associated with those wages for people under age 65, assuming the current portion of workers by age and gender Building on our two other studies The range of costs per QALY saved in our study is approximately 50% lower than some previous estimates Even at older ages, the risk of lung cancer mortality among current smokers is substantially reduced by smoking cessation Our findings emphasize the unprecedented public health potential of lung cancer screening as a medical home for smokers and ex-smokers to motivate cessation and other health behavior change. For example, the addition of coronary artery calcium scores (CACS) measured by LDCT scan to an existing risk prediction model has been shown to improve risk classifications for coronary heart disease Our model likely overestimates the cost per QALY saved by lung cancer screening in several ways. First, we used 2012 cost levels throughout our work. Our cost projection is a retrospective model, in that we examine results for 2012 if screening had started 15 years ago. Since medical inflation has been much higher than either general inflation or risk free interest rates, had we applied a present value calculation to lower historical costs, our cost per QALY saved would be significantly lower. From a forecast perspective, our assumption is consistent with the view that healthcare spending maintains its current, high portion of GDP and does not further increase or decline. Similarly, estimates of the QALYs gained per quit in our model used a 3% discount rate Our sensitivity analyses included increasing the price of lung cancer screening by 50% of our estimated cost and using stage-shift data from both the I-ELCAP and NLST studies. Lung cancer screening remained cost-effective in all scenarios. NLST shows a smaller stage shift than the New York ELCAP figures we utilized in our base case and resulted in a lower mortality reduction. The smaller stage shift can be understood by the limits of NLST\u2014only three annual screens and inclusion of older, four-slice LDCT technology. By default, NLST used community standard practice and not a protocol for follow-up (as used in the I-ELCAP), which may account for the lower observed mortality reduction. However, both I-ELCAP and NLST are voluntary programs and could reflect unknown biases. If future recommendations for lung cancer screening would include a protocol for follow-up, the base case of our cost-utility analysis using New York-ELCAP data may better reflect the effectiveness and cost-effectiveness of LDCT screening at the broader population level.Results from our simulation model indicate that repeat annual LDCT lung cancer screening for adults aged 50\u201364 with 30+ pack-years of smoking history is highly cost-effective from a commercial payer perspective. Lung cancer screening becomes even more cost-effective when linked with smoking cessation interventions and this study presents cost-utility ratios across a range of programs consisting of a single counseling session up to a full course of combined behavioral and pharmacological treatment. Annual LDCT lung cancer screening in this high risk population remained cost-effective across all sensitivity analyses and we would expect this screening to become more favorable over time with increased identification of early stage cancers in the routine screening pool. The cost-utility ratios estimated in this study were in line with other cancer screening interventions endorsed by the USPSTF and support inclusion of annual LDCT screening for lung cancer in future USPSTF recommendations.File S1(DOCX)Click here for additional data file."}
+{"text": "Turning Turing's logic on its head, we used widespread letter-based Turing Tests found on the internet (CAPTCHAs) to shed light on human cognition. We examined the basis of the human ability to solve CAPTCHAs, where machines fail. We asked whether this is due to our use of slow-acting inferential processes that would not be available to machines, or whether fast-acting automatic orthographic processing in humans has superior robustness to shape variations. A masked priming lexical decision experiment revealed efficient processing of CAPTCHA words in conditions that rule out the use of slow inferential processing. This shows that the human superiority in solving CAPTCHAs builds on a high degree of invariance to location and continuous transforms, which is achieved during the very early stages of visual word recognition in skilled readers. While browsing the Internet one is regularly annoyed by requests to demonstrate that one is not a robot. The most familiar of these CAPTCHAs - Completely Automated Public Turing test to tell Computers and Humans Apart CAPTCHAs are telling us something about the way humans represent and process strings of letters - what we will call orthographic processing Human superiority in solving CAPTCHAs could be due to at least two factors. One, favoured by our subjective experience, could involve slow inferential processes to make explicit guesses on letter identities in the face of ambiguous bottom-up information, perhaps not unlike letter-by-letter reading. Another possibility however is that our extensive reading experience, often in difficult conditions , could have helped us develop an automatic system for orthographic processing that is highly tolerant to noise and shape variations in the input. Here we eliminated the possible use of slow inferential processes by presenting CAPTCHAs as prime stimuli in a masked priming experiment. Prime stimuli are presented very briefly and immediately before a clearly visible target stimulus that participants must classify as being a word or not 2\u00d72 repeated-measures ANOVAs with relatedness and prime type as factors were run separately on mean correct RTs and error rates, for word and nonword targets . An inverse transformation was applied to the RT data to reduce the influence of skewness and outliers Our results show that without rising to the level of normal printed words, word CAPTCHAs are remarkably efficient primes that generate a quite large and significant facilitation both in reaction times and in error rates see . Given tThe flip-side of these findings is to hint at what might be valuable strategies for automatic text processing algorithms and cognitive models of reading alike, suggesting that a neuromorphic system should not emphasize slow computations (for instance direct searches in the lexicon) but rather might want to be primarily constrained by the very rapid resolution of subsets of letters under a variety of continuous transforms and rotations. This could possibly be achieved by combining both the letter-based and the bigram-pruning strategies proposed in 24 participants recruited from the undergraduate and postgraduate populations at Aix-Marseille University took part in the study. All were native French speakers and reported normal or corrected-to-normal vision.A repeated-measures design was employed in which the three independent variables were Lexicality (words and nonwords), Prime Type (CAPTCHA and printed) and Relatedness (related and unrelated). Mean response time to correct responses and response accuracy in the lexical decision task were measured. Prime stimuli comprised 160 CAPTCHA and their equivalent 160 printed letter strings, half of which spelled familiar French words (5\u201310 letters long) and the other half readable nonwords (5\u20139 letters long). First, CAPTCHA stimuli were drawn from the reCAPTCHA website A masked priming lexical decision task was used. Participants were run individually in a sound-attenuated room. Each participant sat 82 cm in front of a 20\u2033 monitor. The trial sequence of the experiment is illustrated in"}
+{"text": "The intestinal microbiota plays an important role in immune development and homeostasis. A disturbed microbiota during early infancy is associated with an increased risk of developing inflammatory and allergic diseases later in life. The mechanisms underlying these effects are poorly understood but are likely to involve alterations in microbial production of fermentation-derived metabolites, which have potent immune modulating properties and are required for maintenance of healthy mucosal immune responses. Probiotics are beneficial bacteria that have the capacity to alter the composition of bacterial species in the intestine that can in turn influence the production of fermentation-derived metabolites. Principal among these metabolites are the short-chain fatty acids butyrate and acetate that have potent anti-inflammatory activities important in regulating immune function at the intestinal mucosal surface. Therefore strategies aimed at restoring the microbiota profile may be effective in the prevention or treatment of allergic and inflammatory diseases.Probiotic bacteria have diverse effects including altering microbiota composition, regulating epithelial cell barrier function and modulating of immune responses. The precise molecular mechanisms mediating these probiotic effects are not well understood. Short-chain fatty acids such as butyrate are a class of histone deacetylase inhibitors important in the epigenetic control of host cell responses. It is hypothesized that the biological function of probiotics may be a result of epigenetic modifications that may explain the wide range of effects observed. Studies delineating the effects of probiotics on short-chain fatty acid production and the epigenetic actions of short-chain fatty acids will assist in understanding the association between microbiota and allergic or autoimmune disorders.in vivo conditions would offer the ideal conditions to examine the microbiological, immunological and epigenetic mechanisms of action. Advances in epigenetic technology now allow investigators to better understand the complex biological properties of probiotics and their metabolites.We propose that treatment with specific probiotic bacteria under Determining the precise mechanisms of probiotic action will lead to more specific and efficacious therapeutic strategies in the prevention or treatment of chronic inflammatory conditions. Bifidobacteria species and increased numbers of pathogenic Clostridia and Staphylococci compared to non-allergic infants [The intestinal microbiota plays a critical role in the establishment and maintenance of healthy immune responses. Delayed colonisation of the infant gut with commensal bacteria or alterations in the microbiota profile are suggested to be strong risk factors for the development of immune-mediated chronic disorders such as allergic and autoimmune diseases. Mice raised in a germ- free environment fail to develop oral tolerance and have persistent Th2-dependent immune responses . This im infants . Moreovein vitro or in vivo effects that are relevant to the clinical context they will be applied to. Lactobacillus and Bifidobacteria species have been studied in greatest detail and are the most commonly used in research studies [Lactobacillus rhamnosus GG (LGG) was found to reduce the development of atopic dermatitis in high-risk infants by 2 years of age [Probiotics mediate their activity by a variety of mechanisms including altering the microbiota composition, maintaining epithelial barrier function and modulating mucosal and systemic immune responses . Importa studies . In part studies -9. Prenas of age . Howevers of age .L. casei and L. rhamnosus revealed upregulation of several key mucosal immune response genes encoding IFN-\u03b3 production and TLR3/9 expression while L. acidophilus was found to upregulate immunoregulatory genes including IL-17B, IRAK2 as well as several chemokines and cellular adhesion molecules in duodenal biopsies using a novel transcriptome analysis [Treatment with probiotics induces a variety of immunological effects on epithelial function, dendritic cells, Treg and T-helper responses. Examples of these effects include 1) enhanced epithelial barrier function via interactions with Toll-like receptors (TLRs) and modulation of epithelial cell signal transduction pathways that regulate cytokine production to promote anti-inflammatory responses -13; 2) ianalysis .An important role for commensal (including probiotic) bacteria is the fermentation of dietary compounds leading to production of short-chain fatty acid (SCFA) metabolites. Several SCFAs are known to be produced such as butyrate, acetate and propionate. Levels of SCFA have been demonstrated to be reduced in inflammatory diseases, possibly as a result of an altered gut microbiota. These SCFAs have an important protective function in the intestine and exert anti-inflammatory effects in a number of animal models. Intestinal epithelial cells of germ-free mice had reduced SCFA receptor expression which was normalized following reconstitution with normal gut bacteria . The SCF+ coupled monocarboxylate transporter Slc5a8 [Probiotic metabolites such as butyrate are therefore an important class of therapeutic compounds. These SCFAs are also a well-known class of epigenetic drugs known as histone deacetylase inhibitors (HDACi) that have a central role as anti-cancer agents with strong anti-proliferative effects on tumour cells ,29. Thisr Slc5a8 .Faecalibacterium prausnitzii, is a novel probiotic used for the treatment of inflammatory bowel disease (IBD) [F. prausnitzii led to a shift in microbiota composition, reduced inflammatory cytokine levels such as IL-2, increased the anti-inflammatory cytokine IL-10 and reduced colitis and mortality, suggesting that butyrate and other related metabolites may be critical in host protection [Propionibacterium freudenreichii, which was found to shift the extracellular pH from 7.5 to 5.5 in the colon and was related to levels of the SCFAs, acetate and propionate [Given the role of bacterial species in the production of SCFAs, probiotics may be considered as an alternative approach for the prevention or treatment of chronic inflammatory diseases. Evidence in support of this effect by probiotics is limited. The butyric acid-producing anaerobic bacterium, se (IBD) . The levotection . The antopionate . It is pProbiotics mediate pleiotropic effects however the precise mechanism(s) have yet to be fully elucidated. The 'epigenome targeting' hypothesis contends that the activity of probiotics and their metabolites are associated with chromatin remodeling as a function of intrinsic histone deacetylase inhibition. Modulation of gene transcription is an essential component of many biological processes. The onset of pathological conditions such as cancer and chronic inflammation often result from aberrant gene transcription. Integral to this process are epigenetic factors involving two critical enzymes, histone acetylases (HATs) and histone deacetylases (HDACs). These produce post-translational modifications of histone proteins and result in changes to chromatin structure and function ,37. WhilThe recent advances in understanding epigenetic processes in the maintenance of health allows us to investigate more precisely the mechanisms of action of novel therapies such as probiotics in defined clinical contexts. Critical transcriptional regulators of inflammation such as NF-\u03baB and Foxp3 can now be studied closely to determine the impact of dietary/probiotic supplementation. The evidence presented above and our hypothesis provide for the first time a direct link between the anti-inflammatory and immunoregulatory properties observed for probiotics in terms of Treg induction, DC maturation and cytokine/chemokine secretion and the molecular events involved at the epigenetic level. We believe that the biological activity of probiotics are mediated through complex epigenetic changes that regulate the activation status of key transcription factors involved in host immunity.in vivo system such as the mouse, or preferably in humans using a randomized, double-blind, placebo-controlled study design. Probiotic bacteria or placebo should be given prenatally and/or post-natally to infants at high-risk of developing allergic disease. Clinical effects of the probiotic should be assessed by doctor-diagnosed allergy using defined criteria, skin prick test positivity, and SCORAD analysis of eczema severity. Immunological outcomes can be assessed by enumerating Treg and DC populations and the profile of cytokine secretion by cultured cord and peripheral blood mononuclear cells in response to SCFA metabolites. Levels of SCFA can be measured in stool or blood. Correlation between immunological and epigenetic changes could be assessed in the first instance by simple immunoblot analysis for histone hyperacetylation as well as real-time PCR for specific immune gene regulation in relevant cells. Genome-wide sequencing techniques such as mRNA-Seq (gene expression) and ChIP-Seq (specific epigenetic modifications including acetylation) will further our understanding of the critical biological functions of probiotics.Testing this hypothesis should be undertaken in an Interest in probiotics has intensified in recent years due to their potential health benefits and as treatments for a wide range of inflammatory and immunological conditions. Probiotic bacteria have been demonstrated to modulate a variety of microbiological and immunological parameters although the precise mechanisms for these effects are yet to be fully elucidated. The ability of probiotics to alter intestinal microbiota composition and diversity suggest an important role for SCFAs such as butyrate. The demonstration of beneficial probiotic effects through as yet unidentified epigenetic mechanisms will have significant implications in the prevention and/or treatment of allergy and other chronic inflammatory diseases.PVL, SSW and TCK declare that they have no competing interests. MLKT is a member of the medical advisory board of Nestle Nutrition Institute and has delivered speaker presentations for Wyeth/Pfizer.PVL conceived and wrote the paper, SSW contributed to the manuscript, MLKT and TCK contributed to and critically appraised the manuscript. All authors read and approved the final manuscript."}
+{"text": "The objectives of this study were to examine relationships between neighbourhood-level and individual-level characteristics and physical activity in deprived London neighbourhoods.In 40 of the most deprived neighbourhoods in London (ranked in top 11% in London by Index of Multiple Deprivation) a cross-sectional survey (n\u200a=\u200a4107 adults aged >\u200a=\u200a16 years), neighbourhood audit tool, GIS measures and routine data measured neighbourhood and individual-level characteristics.The binary outcome was meeting the minimum recommended 5\u00d730 mins moderate physical activity per week. Multilevel modelling was used to examine associations between physical activity and individual and neighbourhood-level characteristics.Respondents living more than 300 m away from accessible greenspace had lower odds of achieving recommended physical activity levels than those who lived within 300 m; from 301\u2013600 m and from 601\u2013900 m . There was substantial residual between-neighbourhood variance in physical activity (median odds ratio\u200a=\u200a1.7). Other objectively measured neighbourhood-level characteristics were not associated with physical activity levels.Distance to nearest greenspace is associated with meeting recommended physical activity levels in deprived London neighbourhoods. Despite residual variance in physical activity levels between neighbourhoods, we found little evidence for the influence of other measured neighbourhood-level characteristics. Regular physical activity is effective in reducing the risk of premature death and in preventing the development of many chronic diseases The majority of research on factors associated with physical activity has focused on individual-level factors The vast majority of this research has been published outside the UK and there is evidence to suggest that the findings of these studies may not be generalizable between countries Research question 1: Are individual and neighbourhood-level characteristics of deprived neighbourhoods in London associated with individual-level physical activity?Research Question 2: How much variation in physical activity levels is there between neighbourhoods?This study utilises an observational design based on a cross-sectional survey. The survey was conducted at baseline within the Well London programme cluster randomised controlled trial, which includes twenty pairs of control and intervention neighbourhoods across twenty boroughs The setting for this study was 40 of the most deprived neighbourhoods in London (2 in each of 20 London boroughs). Neighbourhoods were defined as census lower super-output areas (LSOA) selected for inclusion in the Well London trial because they are ranked within the top 11% for deprivation in London as measured by the English indices of deprivation Interviewer-administered surveys were conducted in 2008 by trained fieldworkers in households selected at random from the Post Office Address Files for each of the 40 neighbourhoods. At addresses that responded to visits from fieldworkers, every eligible adult (aged 16 years and over) providing written, informed consent was interviewed separately from other participants. Households were classified as non-responding only after fieldworkers had attempted visits on at least five separate days, at varying times of the day.The household survey included the short form of the International Physical Activity Questionnaire (IPAQ-SF) The household survey collected self-reported measures of sociodemographic characteristics, positive mental wellbeing . Publicly accessible and useable greenspaces in close proximity to each of the neighbourhoods were identified visually using aerial images from Google Earth and then the access points to the greenspaces were geocoded using Arc GIS. Only greenspaces larger than 2 hectares were geocoded as areas smaller than this were considered to be of inadequate size for adults to use to be physically active The English Indices of Deprivation core accessibility measures were used as indicators of the neighbourhood average walking distances to the nearest available food store and town centre Missing data were accounted for using multiple imputation models. The user-written ice commands Analyses were conducted using Stata v11.2 . For the individual-level factors, logistic regression models were used to adjust associations between the household survey items and physical activity levels for age, sex, ethnicity and LSOA. Logistic regression analyses were also conducted for level-one variables including LSOA as a random effect, but the fixed effects approach was preferred in order to account for potential endogeneity in level-one variables Larsen and colleagues Ethical approval for all procedures was granted by the University of East London ethics committee in line with the declaration of Helsinki. Written, informed consent was granted by all participants. For participants aged 16 or 17, written, informed consent from both the participant and a parent or guardian was obtained prior to participation (these consent forms were signed by both participants and parents/guardians).The household survey was completed by 4,107 adults. Further information about the study sample is presented elsewhere Data from the IPAQ-SF indicated that 64.8% of respondents achieved the CMO's minimum recommended physical activity levels After adjusting for age, gender and ethnicity, the Median Odds Ratio was 1.7 . The odds of meeting the CMO's recommended levels of physical activity were higher for respondents reporting higher levels of positive mental wellbeing had nearly twice the odds of achieving the minimum recommended physical activity levels when compared to those living 600\u2013900 m from the nearest greenspace. In addition to this measure of distance to nearest greenspace, we also examined the presence of large parks or greenspaces within neighbourhoods. These variables were not associated with meeting recommended physical activity levels.The evidence base for a relationship between greenspace and physical activity is equivocal, with approximately two thirds of previous studies examining associations between proximity to greenspace and physical activity reporting some evidence of a relationship We found evidence of considerable between-neighbourhood variation in the propensity to meet the minimum recommended physical activity levels. However, the measures of neighbourhood-level characteristics used in this study were not associated with the propensity to meet these physical activity levels, and did not explain a substantial amount of the variation in physical activity levels between neighbourhoods.Limitations of this study include the cross-sectional design which prevents us from making inferences about the direction or existence of a causal link. The use of LSOAs to represent the neighbourhood unit has facilitated the collation of information about neighbourhood characteristics, but the use of census tract areas to define \u2018neighbourhoods\u2019 has several limitations The physical activity levels reported by respondents to the Well London survey were considerably higher than the national average National surveys have shown that low-income groups are less physically active than higher-income groups There is however, substantial variance in physical activity levels between these deprived neighbourhoods. Multilevel social-ecological studies of physical activity have rarely reported information regarding the magnitude of variance in physical activity that can be attributed to variation between neighbourhoods or other geographical areas. The use of the median odds ratio to quantify between-neighbourhood variation in the physical activity outcome provides important information that is seldom reported in multilevel studies of physical activity. This median odds ratio is directly comparable to the odds ratios for individual-level characteristics, suggesting that the median difference in propensity to meet recommended physical activity levels between these 40 neighbourhoods may be similar in magnitude to the differences in propensity between men and women or differences between individuals aged 16\u201324 and individuals over 55 years old.The substantial between-neighbourhood variation in physical activity was not explained by the neighbourhood-level variables in this study. This may indicate that neighbourhood-level factors not measured in this study are important determinants of physical activity or that the operationalisation of neighbourhood characteristics in this study was not able to capture the features of the neighbourhoods that are important in determining physical activity levels in this deprived population. The methods used in previous studies to operationalise neighbourhood characteristics have been wide ranging and have seldom focused on deprived neighbourhoods. This may be important in explaining the varying findings in the literature A further potential explanation of our findings is that neighbourhood characteristics influence physical activity through complex and contingent causal pathways that have not been captured in the models presented in this study. Further research is needed to examine such pathways. This research may take the form of analyses that include potential mediating and moderating variables Our observations suggest that in this deprived population, characteristics measured at the individual-level are stronger determinants of physical activity than the neighbourhood-level characteristics examined in this study. However, limited variability in the neighbourhood environments may have restricted the potential to detect neighbourhood-level associations. Variation in the measured neighbourhood characteristics between the deprived neighbourhoods examined in this study and other less deprived neighbourhoods is likely to be greater than the variation between the deprived neighbourhoods alone. Therefore, examination of more heterogeneous neighbourhoods may have yielded different results.Table S1Associations Between Individual-Level Characteristics and Physical Activity in Adult Residents of Deprived London Neighbourhoods in 2008.(DOC)Click here for additional data file.Table S2Associations Between Neighbourhood-Level Characteristics and Physical Activity in Adult Residents of Deprived London Neighbourhoods in 2008.(DOC)Click here for additional data file.Text S1Details of the Specification of the Multiple Imputation Models.(DOC)Click here for additional data file."}
+{"text": "Results of extensive experiments on different genome-scale metabolic networks show that optGpSampler is up to 40 times faster than gpSampler. Application of existing convergence diagnostics on small network reconstructions indicate that optGpSampler converges roughly ten times faster than gpSampler towards similar sampling distributions. For networks of higher dimension (i.e. containing more than 500 reactions), we observed significantly better convergence of optGpSampler and a large deviation between the samples generated by the two algorithms. Availability:optGpSampler for Matlab and Python is available for non-commercial use at: http://cs.ru.nl/~wmegchel/optGpSampler/.Constraint-based models of metabolic networks are typically underdetermined, because they contain more reactions than metabolites. Therefore the solutions to this system do not consist of unique flux rates for each reaction, but rather a space of possible flux rates. By uniformly sampling this space, an estimated probability distribution for each reaction\u2019s flux in the network can be obtained. However, sampling a high dimensional network is time-consuming. Furthermore, the constraints imposed on the network give rise to an irregularly shaped solution space. Therefore more tailored, efficient sampling methods are needed. We propose an efficient sampling algorithm (called Modelling metabolic networks helps to unravel the complex machinery of metabolism within the cell. A classic approach is to model the reaction pathways in a dynamic fashion, using detailed kinetic data. For genome-scale models, often involving hundreds or thousands of reactions and metabolites, it is experimentally prohibitive to obtain the kinetic parameters involved. A constraint-based approach has successfully been applied to model and address a wide range of biological questions in the absence of detailed kinetic data where Many constraint-based methods have been proposed to find flux distributions that are of biological interest. A successful approach is Flux Balance Analysis (FBA) hit-and-run (HR) gpSampler is often used to sample metabolic networks and implemented in the COnstrained Based Reconstruction and Analysis (COBRA) Toolbox In order to obtain an estimated probability distribution of attainable flux values for each reaction in the network, methods based on uniform sampling are used. A fast algorithm for this task is called gpSampler; (2) we propose a new measure to quantify the deviation between samples obtained from two independent sampling runs; (3) we perform a thorough analysis on five metabolic network models.Therefore in this paper we investigate uniform random sampling in the context of metabolic networks. Our contributions are threefold: (1) we introduce an efficient and effective random sampling algorithm which combines the advantages of ACHR and rejection sampling technique One of the first attempts to sample the flux states in a metabolic network used a hit-and-run (HR) algorithm The In general, the constraints in metabolic network models lead to a convex space of irregular shape which is elongated for reactions whose flux rates are loosely constrained, and is narrow for tightly constrained fluxes. A consequence of this phenomenon is that many sample points are close to the boundary of the solution space. Since HR chooses a direction warm-up phase an arbitrary initial point sampling phase starts from warm-up and the main sampling phase of ACHR.ACHR The sequence of ACHR iterates is not a Markov chain, due to the dependence of directions on prior iterates. Thus the sequence of iterates is not guaranteed to converge to a uniform distribution gpSamplergpSampler works. The highly irregular shape of the solution space of metabolic networks makes a uniform direction choice on gpSampler\u2019s warm-up phase uses linear programming in a two parts procedure. In part (1) gpSampler uses a linear transformation to \u2018pull\u2019 the warm-up points more into the interior of the solution space. Then, each moved warm-up point is used in the main sampling phase to generate step count parameter ACHR is at the core of gpSampler and ACHR. The resulting algorithm is called optGpSampler and inequality (2) often lead to the same or a similar optimal solution. This could bias the starting points and directions choice of our sampler.We propose to combine a part of the warm-up phase of optGpSampler is similar to that of ACHR , producing For each reaction Compute the mean chain of the Our assumption is that chains generated by sampler Our choice to use a mean deviation over the standard deviation is motivated by the fact that the mean deviation is more efficient than the standard deviation in the realistic situation where some of the measurements are in error, and more efficient for distributions other than perfect normal xy-deviation over Then the xy-deviation indicate convergence of gpSampler implementation in the COBRA Toolbox. Results of extensive experiments are given in supplementary material. Tables S1\u2013S5 in We used the gpSampler and optGpSampler were executed in parallel mode on an AMD desktop computer using optGpSampler is roughly 6 to 40 times faster than gpSampler.We sampled all networks four times using To asses the quality of the results, we performed four independent runs with each sampler. Each run collected gpSampler and optGpSampler was assessed by applying the Wilcoxon signed-rank test to the corresponding vectors. The results for the Gelman and Rubin test indicated convergence for all experiments, in disagreement with results of the Geweke and HW tests.We ran all convergence diagnostics with the default settings in the CODA package. The convergence tests results were averaged over the four runs. A univariate test for a sampler outputs a vector of length The obtained chains were also used to compute the E. coli central metabolism network, the Geweke test returned relatively low z-values for both gpSampler and optGpSampler . We compared the runtimes with those of gpSampler, and showed its superior efficiency. We investigated empirical convergence using different diagnostics and showed faster convergence of optGpSampler on the two smaller networks studied. Moreover, by using the here introduced optGpSampler using a small step count are close to those obtained with a high step count by both optGpSampler and gpSampler.We proposed a new algorithm for uniform sampling of the steady-state solution space of metabolic networks. Our algorithm also implements ACHR, but in a different manner than the state-of-the-art sampling method for metabolic networks Click here for additional data file."}
+{"text": "Esophageal impedance monitoring and high-resolution manometry (HRM) are useful tools in the diagnostic work-up of patients with upper gastrointestinal complaints. Impedance monitoring increases the diagnostic yield for gastroesophageal reflux disease in adults and children and has become the gold standard in the diagnostic work-up of reflux symptoms. Its role in the work-up for belching disorders and rumination seems promising. HRM is superior to other diagnostic tools for the evaluation of achalasia and contributes to a more specific classification of esophageal disorders in patients with non-obstructive dysphagia. The role of HRM in patients with dysphagia after laparoscopic placement of an adjustable gastric band seems promising. Future studies will further determine the clinical implications of the new insights which have been acquired with these techniques. This review aims to describe the clinical applications of impedance monitoring and HRM. Esophageal manometry is being performed in humans since the early 1950s . HoweverJohnson and deMeester introduced ambulatory pH-monitoring for the detection of reflux episodes in 1975 . EsophagThe concept of a simultaneous measurement of reflux episodes and pressure dates back to the late 1950s when it was described by Tuttle and Grossman . More reThis review aims to describe the clinical applications of esophageal impedance monitoring and HRM. Furthermore, we aim to stipulate novel insights which have emerged from using the application of techniques.When HRM was introduced in clinical practice, the Spechler and Castell classification of esophageal disorders was the gold standard for assessing manometric data . HoweverWith HRM several new features were added to the analysis of esophageal pressure data. The integrated relaxation pressure (IRP) is a more complex measurement of deglutitive esophagogastric junction (EGJ) relaxation than the end-expiratory nadir pressure Fig.\u00a01b1b. ConceAbnormalities of the force of the distal esophageal contraction can be classified as hypotensive, absent or hypertensive peristalsis. Hypotensive or absent peristalsis can be easily recognized using the isobaric contour lines Fig.\u00a0. The thrThe first feature which is used to determine the transmission of peristalsis is the contractile front velocity (CFV) Fig.\u00a0. ConceptA recent study by Pandolfino et al. aimed to apply the CFV and distal latency to refine the diagnosis of distal esophageal spasm . These aThe novel manometric criteria defined by the Chicago Classification could potentially result in a decreased reproducibility. However, Bogte et al. found that these novel HRM criteria yield reproducible results . FurtherBelow, we will discuss new insights gained with high-resolution manometry.Fox et al. described that the close spacing of pressure sensors at the HRM catheter allows the clinician to identify isolated hypotensive segments in the peristaltic contraction . These iThe close spacing of pressure sensors at the HRM catheter also allows one to differentiate between the pressure generated by the lower esophageal sphincter (LES) and the crural diaphragm if a hiatal hernia is present. This spatial separation of the LES and the crural diaphragm in patients with a hiatal hernia is observed as a double high-pressure zone compared to a single high-pressure zone in subjects without a hiatal hernia . SchererThe diagnostic work-up for non-obstructive dysphagia can be troublesome due to the lack of agreement between objective measurements of esophageal function and the lack of bolus transit assessment as measured by conventional manometry and subjective perception of bolus passage \u2022. This sGhosh et al. described that with the use of HRM substantial shortening of the esophagus can be observed in achalasia patients . If convFurthermore, HRM has prompted the recognition of three different subtypes of achalasia which are achalasia with minimal esophageal pressurization , achalasia with esophageal compression (type II) and achalasia with spasm (type III) . HoweverWith the use of intraluminal ultrasonography a longitudinal muscle contraction of the distal esophagus was recently identified as the cause of pan-esophageal pressurization in type II achalasia . FurtherThe clinical relevance of identifying the achalasia subtype was demonstrated by a recent study by Pratap et al. who demonstrated that patients with type II achalasia respond best to treatment followed by type I and type III .Laparoscopic placement of an adjustable gastric band (LAGB) is a widely performed treatment for obesity. However, dysphagia, vomiting, and regurgitation are common side effects of gastric banding. Several studies have aimed to assess esophageal motility and clearance in symptomatic LAGB patients using high resolution manometry , 26. By A recent study by Roman et al. evaluated the use of HRM in 48 patients with eosinophilic esophagitis . Using hBy far the largest application of esophageal impedance monitoring in clinical practice is in the diagnostic work-up of patients with GERD symptoms. Impedance monitoring detects retrograde flow in the esophagus whereas pH monitoring detects reflux events as a drop in the pH-level Fig.\u00a0. CompareHemmink et al. assessed whether cessation of PPI could further increase the diagnostic yield in patients with GERD . These aAnti-reflux surgery, also known as surgical fundoplication, is a widely performed intervention for GERD. Besides decreasing the number of acid reflux episodes, anti-reflux surgery also reduces the number of weakly acidic reflux episodes . TherefoDespite the fact that reflux monitoring is a valuable diagnostic tool, evidence for the use of pH-metry as a preoperative predictor of surgical outcome has shown conflicting evidence . FurtherBetween reflux episodes and swallows, the esophageal lumen is collapsed and the resulting baseline impedance level is determined by the esophageal wall. Several studies hypothesized that impedance baseline measurements could also be used to evaluate changes in esophageal mucosa integrity , 36, 37\u2022Whereas the detection of reflux episodes with pH-metry can be easily detected as a pH-drop <4, the detection of reflux episodes with impedance monitoring can be somewhat more troublesome. Several studies have assessed inter-observer variability for the detection of reflux episodes with impedance monitoring in the same center, however, a multi-center study has not yet been performed in adults. A recent multi-center study by Loots et al. assessed inter observer variability in impedance tracings of children and found only moderate agreement between the observers . A diffeDuring the work-up of reflux symptoms in children pH-impedance monitoring is increasingly being performed. Studies revealed that a significant proportion of all reflux episodes is weakly acidic and weakly acidic reflux episodes are more prevalent than acid reflux episodes in infants with symptoms , 47\u2022. ThA recent study by Rosen et al. aimed to determine predictors of fundoplication outcome in children using pH-impedance monitoring . These aGastric belching is a physiological mechanism which enables venting of gas from the stomach to the esophagus in order to prevent accumulation of excess gas in the stomach or duodenum , 41. WitThe clinical relevance of this differentiation between supragastric belches and gastric belches was demonstrated in patients with excessive belching as their main symptom . BredenoBelching is a common symptom in GERD patients with an incidence of 40% to 49%. Hemmink et al. showed that supragastric belching can also occur in patients with GERD . MoreoveAerophagia is a disorder which is characterized by abdominal bloating and abdominal distension due to an excessive volume of intestinal gas . With thWith the use of impedance monitoring the clinician can differentiate between supragastric belching, aerophagia and gastric belching in patients with gas related symptoms such as belching and abdominal bloating. This results in a more accurate diagnosis and could possibly result in a more specific treatment for selected patients.The rumination syndrome is a functional gastroduodenal disorder of unknown etiology characterized by persistent or recurrent regurgitation of recently ingested food into the mouth. Diagnosis of rumination is currently based on clinical features as defined by the Rome III criteria . The patCombined manometry-impedance can be used to identify esophageal function abnormalities in patients with non-obstructive dysphagia . The advA recent study by Burgess et al. applied this technique of combined HRM-impedance monitoring and described that little further information was gained compared to HRM alone . HoweverThe application of HRM has improved our understanding of the esophagus and increases the diagnostic yield of manometry. Furthermore, the design of the manometry assembly and the presentation of the acquired data are easier to perform in clinical practice and easier learned by the clinician.The technique of HRM, the interpretation of the acquired data and the classification of disease is constantly being improved. Recently, 3D-HRM was developed which measures pressure with several radial pressure sensors at the location of the EGJ . 3D-HRM pH-impedance monitoring has proven to be a diagnostic tool which is superior to pH-metry in the diagnostic work-up of adult and pediatric patients with GERD symptoms. Furthermore, the application of pH-impedance monitoring with regard to belching complaints has already lead to more specific treatment targets. Currently, evolving concepts regarding the use of baseline impedance levels and the role of supragastric belching in patients with GERD are being assessed. The outcomes of these studies will determine the clinical relevance of these novel concepts and could expand the clinical applications of impedance monitoring.HRM and pH-impedance monitoring have lead to an improvement in diagnostics and classification of esophageal disorders. Future studies will further determine the clinical implications of the new insights which have been acquired with these techniques."}
+{"text": "Delirium is a common and serious condition, which affects many of our older hospitalised patients. It is an indicator of severe underlying illness and requires early diagnosis and prompt treatment, associated with poor survival, functional outcomes with increased risk of institutionalisation following the delirium episode in the acute care setting. We describe a new model of delirium care in the acute care setting, titled Geriatric Monitoring Unit (GMU) where the important concepts of delirium prevention and management are integrated. We hypothesize that patients with delirium admitted to the GMU would have better clinical outcomes with less need for physical and psychotropic restraints compared to usual care.GMU models after the Delirium Room with adoption of core interventions from Hospital Elder Life Program and use of evening bright light therapy to consolidate circadian rhythm and improve sleep in the elderly patients. The novelty of this approach lies in the amalgamation of these interventions in a multi-faceted approach in acute delirium management. GMU development thus consists of key considerations for room design and resource planning, program specific interventions and daily core interventions. Assessments undertaken include baseline demographics, comorbidity scoring, duration and severity of delirium, cognitive, functional measures at baseline, 6 months and 12 months later. Additionally we also analysed the pre and post-GMU implementation knowledge and attitude on delirium care among staff members in the geriatric wards and undertook satisfaction surveys for caregivers of patients treated in GMU.This study protocol describes the conceptualization and implementation of a specialized unit for delirium management. We hypothesize that such a model of care will not only result in better clinical outcomes for the elderly patient with delirium compared to usual geriatric care, but also improved staff knowledge and satisfaction. The model may then be transposed across various locations and disciplines in the acute hospital where delirious patients could be sited.ISRCTN52323811Current Controlled Trials Delirium is a common and serious condition, which affects many of our older hospitalised patients. The prevalence in hospitalised elderly patients is shown to be as high as 50%, with the diagnosis in 11-24% of older patients upon admission and another 5-35% of them developing delirium during admission . ComplicThe importance of delirium is highlighted by its inclusion as a marker for quality of care and patient safety by the National Quality Measures Clearinghouse of the Agency for Healthcare Research and Quality, as higher delirium rates would be expected to correlate with lower quality of hospital care after adjustment for casemix. Moreover, the Assessing Care of Vulnerable Elders Project has ranked delirium among the top 3 conditions for which the quality of care needs to be improved ,11. OtheThe Asian state of Singapore has one of the fastest ageing populations in the Asia-Pacific region with 15-20% of total population consisting of persons aged 65 and above by the year 2030. A random point survey in our geriatric medicine department demonstrated a delirium prevalence rate of 15%. This potentially translates to 3,600 patients per year or 10 patients per day. The survey also showed that elderly inpatients with delirium had a longer average length of stay (ALOS)(15 days) than that of a normal geriatric inpatient (ALOS = 11 days). In addition, 50% of falls in the geriatric wards were related to delirium, resulting in an even longer ALOS of 23.9 days, thus strengthening the case for improved delirium care (data available upon request).Studies have looked at interventions for delirium prevention in hospitalised geriatric patients , yet othIn improving delirium care in the acute hospitalised elderly, the establishment of a specific unit for acute delirium care represents a significant step towards the systematic delivery of good geriatric care for the delirious elderly. For the current study, we describe the development of the Geriatric Monitoring Unit (GMU)- a specialised 5-bedded unit which incorporates specific room design for an elder-friendly environment, lower staff-patient ratio, coupled with structured core, program interventions and bright light therapy to reside delirious patients, supported by 24-hour intensive nursing care.The primary aim of this study is to compare delirious patients admitted to the Geriatric Monitoring Unit (GMU), compared to usual geriatric care in general ward setting on the following primary measures: (1) Duration of delirium and severity of delirium, (2) Use of physical and chemical restraints, (3) Falls rate, (4) Physical injury rate due to agitated behavior, (5) Functional outcomes/gains in the elderly geriatric patients, (6) Morbidity ; (7) Patient and family satisfaction score in elderly persons with delirium. We postulate better outcomes in patients admitted to GMU versus usual geriatric care. Our secondary aims include looking at which specific aspects of the interventions would yield the greatest benefit for future translation on a larger scale; the effects of the multicomponent intervention and bright light therapy on sleep of these patients as well as their effect on antipsychotic and sedative-hypnotic use.The GMU concept was developed via an evidence-based approach using specific interventions that have been found to be beneficial for delirium care. GMU incorporated specific measures from the following programs: (i) Delirium Room which provides comprehensive medical care with multidisciplinary team meetings, initial behavioural and appropriate non-pharmacological methods being first line management in these patients (ii) ConThe development of the GMU program included key considerations for room design and resource planning, program specific interventions and daily core interventions.Room design incorporated the aggregation of patients with delirium and difficult to control behaviours in a single 5-bedded cubicle. In Singapore, a multi-bedded system is common and hence would not cause additional concerns to patients and caregivers. Specific elder-friendly considerations include: 1) card access door; 2) low hospital beds; 3) individual night light; 4) falls modification in the toilet with movement-activated sensor lighting; 5) large wall clock; 6) calendars and 7) headboards indicating sensory impairments (if present), patient's favourite hobbies or activities to aid in individualised activity sessions. Other features of the GMU room include adequate lighting, panic button to ensure staff safety (in event of unpredictable combative patient behaviour) and a central space for group activities.We aimed to provide higher nursing ratio of 1 trained nursing staff to 2.5 patients. The trained nurses, without distraction from other nursing and patient issues, are able to devote full attention to monitor the conditions of the 5 patients in the GMU and thereby able to initiate early interventions should they detect any deterioration in condition. This form of set up will ensure the reduction of the likelihood of injuries, falls and also allow active and early intervention to prevent functional decline and deterioration of the condition.The following program interventions were implemented by the multi-disciplinary team:(1) Family orientation upon patients entering the GMU . Family members are encouraged to visit patients daily to encourage communication and social support to the patients (Daily Visitor program).(2) Geriatric nursing assessment and interventions .(3) The nurses involved in this program underwent a series of in-service training sessions with regards to the interventions including training on administration of cognitive screening tests and delirium scales; non-pharmacological and pharmacological management of delirium; delirium care and one-on-one interactions; communication skills in counseling concerned family members; psychogeriatrician teaching stress management skills; with support from the geriatric ward level nursing managers as well as cognition nurse clinicians who will counsel and aid in on-site difficult-to-manage behaviours. A pre- and post-implementation questionnaire of delirium knowledge was administered table .(4) Reference resources and practical reminders were made available for the staff in GMU.(5) A continuing education program for care providers was implemented where the staff involved in the GMU has regular training to increase awareness and knowledge in diagnosis and management of delirious patients.(6) Nursing leaders helped support the trained nurses during the implementation stage.(7) Daily geriatrician input with regards to these patients with daily documentation of mental status /Chinese Mini Mental State Examination (CMMSE)) ,38, Conf(8) Twice-weekly multidisciplinary rounds .(9) Monthly meetings with the multidisciplinary staff members to evaluate the ongoing program, refine, voice out problems(10) Early involvement of care co-ordinator or medical social worker (where appropriate) in discharge planning.GMU core interventions are performed daily . The aim of bright light therapy is to establish healthy sleep-wake cycle with appropriate timing set to a desired phase. Since sleep deprivation is one of the contributing factors to worsening delirium, it will be beneficial to place such patients in this room to modulate their sleep-wake cycle. The peaceful environment, free from the movement and noises from other patients will allow better and uninterrupted period of sleep.The admission criteria for GMU included patients above age of 65 years old assessed to have delirium who were admitted to the geriatric medicine department. Patients were excluded if they had medical illnesses which require special monitoring ; were deemed to be dangerously ill, in coma or had terminal illness; uncommunicative patients or patients with severe aphasia; severely combative behaviour with high risk of harm; and patients with mania or other severe eye disorders and other contraindications to bright light therapy (such as patients on photosensitising medications). Finally we also excluded patients with respiratory or contact precautions, or there was verbal refusal of GMU stay by family/patient/physician-in-charge.The GMU will have a dynamic system for transfers (akin to an intensive care unit) whereby patient flow is effected once they are assessed to have met entry or discharge criteria. This will be based upon both subjective and objective approach when the medical team deems the patients to have easy to manage behaviour/minimal or stable behavioural medications and objectively supported by decreased severity of delirium, based on DRS and CAM-severity scores.Our study consist of a pre/post GMU implementation as well as concurrent GMU patients versus patients with delirium managed in the geriatric ward as controls. We will collect available data for patients with delirium admitted to the geriatric department one month prior to GMU implementation. We will give a one-month run-in period after establishment of GMU to smoothen out the initial teething issues and operational issues. The study recruitment commenced in November 2011. We will subsequently identify patients with delirium who meet the inclusion and exclusion criteria for GMU. Using Zelen's method of randomization ,42, we wTable The primary outcome measures we will look at include: (i) Clinical data with regards to duration and severity of delirium; frequency of use of physical restraints, use of pharmacological agents/sedative hypnotics, physical injuries or monthly falls rates; and nosocomial infection rates (ii) Functional outcomes by way of modified Barthel Index score and (iii) Patient/family satisfaction score; all adjusted for baseline demographics and comorbidities. We aim to look at the outcomes measures of patients with delirium admitted to GMU versus those managed under usual care (control group) group . We based our calculations on a two-sample comparison of means for the GMU and control group using non-repeated measures. Using mean Barthel Index score difference of 10 with standard deviation of 14 with ratio between groups of 1, a sample size of 45 patients in each group will be adequately powered to detect a 10-point mean Barthel Index group differences, with 90% power. Assuming that 10% of patients are lost to follow-up at 1 year, we project a final sample size of 50 (rounded up). Level of significance was set at 5%. Sample size calculation was performed in PS Power and Sample Size Calculations V2.1.30. Statistical analysis will be performed using appropriate statistical methods for between group comparisons. Appropriate statistical methods will be used for the longitudinal outcome analyses and statistical significance is set at 5%.Informed consent for data collection will be obtained from the legal guardians of patients with delirium. Ethics approval has been obtained from National Healthcare Group Domain Specific Review Board (NHG DSRB).We describe the rationale and concepts for GMU, a specialized 5- bedded unit dedicated to delirium care. Studies have shown that good leadership and effective management play a key role in bringing about a successful change to a positive workplace culture through innovative programs and research projects. Organisational investment can improve outcomes for staff stability and productivity, care quality and budgets, and better prepare those involved in the care of the elderly. The above provided the rationale for our development of a specialised delirium unit. The unit uses evidence-based practices of Delirium Room, HELP program and bright light therapy as its ground model.The Delirium Room described by Flaherty et al is a specialized 4-bed unit that provides 24-hour intensive nursing care with a restraint-free concept . This DeWhile Delirium Room has been shown in literature to improve delirium care, the HELP program is primarily a multi-component intervention developed to prevent delirium in hospitalized older patients ,27. It hWhile the GMU model has been developed for delirium care as a limited 5-bedded unit, it is unclear currently whether the benefits would be best seen in the hypoactive, mixed or hyperactive delirium. We had excluded combative hyperactive delirium patients who might cause the most caregiver/staff distress and who might require the most care time. However, this is done taking into account staff safety as well as safety of other patients. Also the combative delirious patient might least benefit from the core interventions as he/she might not be able to co-operate with the respective strategies applied. In order to look at the subtype of delirium patients who might best benefit from the GMU, we will further review their delirium and functional outcomes post-GMU admission to refine and improve our model in the future. We hope that the development of GMU will improve both short and long-term outcomes of hospitalized patients with delirium compared to usual care. This model of care in future may also be translated in a trans-disciplinary manner across other medical and surgical wards (akin to ACE unit model) where delirious patients could be sited.The authors declare that they have no competing interests.CMS, MC participated in the design of the GMU and writing up of manuscript. JK and HHC participated in the design of GMU, design and administration of satisfaction questionnaire and design of structured GMU nursing protocol. DYY and TTL participated in design of GMU and inputs into the manuscript. All the authors read and approved the final manuscript.The pre-publication history for this paper can be accessed here:http://www.biomedcentral.com/1471-2318/11/41/prepub"}
+{"text": "Systemic properties of living cells are the result of molecular dynamics governed by so-called genetic regulatory networks (GRN). These networks capture all possible features of cells and are responsible for the immense levels of adaptation characteristic to living systems. At any point in time only small subsets of these networks are active. Any active subset of the GRN leads to the expression of particular sets of molecules (expression modes). The subsets of active networks change over time, leading to the observed complex dynamics of expression patterns. Understanding of these dynamics becomes increasingly important in systems biology and medicine. While the importance of transcription rates and catalytic interactions has been widely recognized in modeling genetic regulatory systems, the understanding of the role of degradation of biochemical agents in regulatory dynamics remains limited. Recent experimental data suggests that there exists a functional relation between mRNA and protein decay rates and expression modes. In this paper we propose a model for the dynamics of successions of sequences of active subnetworks of the GRN. The model is able to reproduce key characteristics of molecular dynamics, including homeostasis, multi-stability, periodic dynamics, alternating activity, differentiability, and self-organized critical dynamics. Moreover the model allows to naturally understand the mechanism behind the relation between decay rates and expression modes. The model explains recent experimental observations that decay-rates (or turnovers) vary between differentiated tissue-classes at a general systemic level and highlights the role of intracellular decay rate control mechanisms in cell differentiation. GRN coordinate regulatory dynamics on all levels from cell-fate up- or down-regulation of the production of one agent by another agent. It has been recognized that quantitative information is required to understand the complex dynamical properties of regulatory interactions in living cells adequately reproduce GRN dynamics and sufficiently exhibit systemic properties of the GRN, including (i) homeostasis, (ii) multi-stability, (iii) periodic dynamics, (iv) alternating activity, (v) self-organized critical dynamics (SOC) and (vi) differentiability.Understanding living cells at a systemic level is an increasingly important challenge in biology and medicine Homeostatic dynamics regulates the equilibrium concentration levels of agents, e.g. multi-stability shows switching between multiple steady states periodic dynamics are e.g. the cell-cycle alternating activity, i.e. their concentrations alternate between being detectable (on) and below detection threshold (off), see e.g. Self-organized critical (SOC) dynamics corresponds to details of regulatory dynamics ensuring (approximate) stability within a fluctuating environment through various mechanisms of adaptation. Finally the property of differentiability means that cells of multicellular organisms can differentiate into various cell-types. The differentiated cells possess identical GRN but express distinguishable patterns of regulatory activity. The same GRN therefore can be expressed in different modes so that some agents become expressed in one mode but not in another compartments which usually are not resolved in models of experimental data. Besides active degradation of effector molecules also transport-mechanisms between different cell-compartments, e.g. between the nucleus and the cytosol, can change the concentration of effector molecules (e.g. transcription factor) in the compartment containing their target molecules (e.g. promoter). Thus transport phenomena may also emulate the effect of local production or decay rates.Recently it has been reported that both regulation of transcription and mRNA decay rates (i.e. the mRNA turnover) are necessary to understand experimentally observed expression values active regulatory network at time active agent set at time expression modes of a specific cell-type and its general state. Expression modes themselves can be modified, either locally as a reaction to an external signal, or fundamentally through further cell differentiation. Active sets of molecules are transient and what is observed in experiments is a superposition of subsequent active sets, which we call the expressed set of agents. The regulatory interactions between the expressed agents we call the expressed regulatory network. To find the property of differentiability in a regulatory network model therefore requires that one network is capable of producing different expression modes while perturbations only modify active sets locally and the particular expression mode can be restored.Variable decay rates however and the property of differentiability are hardly ever considered in GRN models where decay rates of effector molecules (agents) are usually kept constant. Understanding the effects of changes of decay rates of agents therefore is a crucial step towards a deeper understanding of GRN dynamics and the role decay rates play in cell-differentiation. The GRN is the set of all possible interactions of molecular reactions and bindings. The GRN captures all possible features of cells and are responsible for the immense levels of adaptation characteristic to living systems. What happens when different cell-types express the same GRN in alternative ways? At any point in time only small subsets of the GRN are active. Any active subset of the GRN leads to the expression of particular sets of molecules (expression modes). The The six dynamical properties we have listed above have been addressed with a variety of conceptually different models. The essence of all these models is that they try to capture the dynamics induced by positive and negative feed back loops within the GRN. The choice of model depends largely on the type and resolution (coarse graining) of experimental data. At the single cell level cellular activity can be modeled by nonlinear (stochastic) differential equations Differential equation models can be approximated by cellular automata, Boolean or piecewise-linear models. The property of SOC dynamics, or dynamics at the \u201cedge of chaos\u201d regulatory domains consider Given that the interaction matrix all desired GRN properties.Not all models approximating nonlinear differential equation descriptions of GRN are equally suited to capture all GRN properties discussed above simultaneously depending on whether discrete or smooth features dominate the model. However there exists a surprisingly simple class of models which exhibits Here we present such a simple model that captures all of the above dynamical properties. We find that the alternating dynamics plays a key role for the stability of regulatory systems and for the formation of SOC dynamics in particular expressed genetic regulatory network, and (b) these differences can be controlled via decay rates of intracellular agents. In other words typical expression modes can be altered and switched by controlling decay rates.We show that experimental facts, linking variations of decay rates observed between different cell-types of an organism to variations of the abundance of intra-cellular biochemical agents in these cell-types, correspond to (a) differences in the Setting active at time inactive, if Equation (2) generalizes this class of models to systems allowing to explicitly model linear regulatory interactions active set of agents. The remaining agents have zero concentration, and therefore do not actively influence the concentrations of any of the non-vanishing agents. There exist active networks and denote them by effective fixed point sequentially linear systems. The attractiveness of this description arises through the fact that it becomes possible to understand the dynamics by considering the sequences of active networksThe positivity constraint Eq. (4) implies the following consequences. At any point in time there will be a sub-set of agents with non-vanishing concentrations which we call the ces see . This moattractors of the dynamics . Which attractor is \u201cfound\u201d depends on the initial condition. Sequentially linear systems can possess multiple distinct limit cycles and fixed points. Perturbations may push a system from one to another attractor. The question of how many different attractors a sequentially linear system possesses goes beyond the scope of this paper and will be discussed elsewhere.The dynamics of nonlinear systems in general and sequentially linear system in particular converges to different In the picture of sequentially linear dynamics it becomes possible to identify operational modes of a cell as a particular sequence of active networks. Cell types in ordinary operational modes may be classified by specific sequences of active networks. Two distinct possibilities for such sequences exist. One possibility is that, after some initial switching events, a system ends up in a stationary state associated with a particular active network of the system see . The othperiodic sequence As a hypothetical example a liver cell under typical conditions might be characterized by a As an example for sequentially linear dynamics we consider a system with see also . In thishomeostasis, and multi-stability. This has been demonstrated for a wide range of system size Periodic dynamics, and self-organized critical dynamics have been noted in Some details of the dynamics, like the existence of multiple stable fixed-points, the periodicity of bounded attractors and temporal self-organization, can be mathematically fully understood. In The temporal balance condition states that the time-average over the real parts of the leading eigenvalues accessible however, meaning that the trajectory on the way toward the fixed point hits a boundary are absorbed into switching events, where the dynamics of one linear system switches to another one. In this view different cell types correspond to different sequences of active sub-networks over time.These sequentially linear models allow not only for the first time to describe all the relevant dynamical features of the GNR , but also offers the handle to understand the role of molecular decay rates. The fact that sequentially linear dynamics properly models homeostasis, multi-stability and periodic behavior was shown in Applying the sequentially linear model to the problem of cell-differentiation we demonstrate that different levels of decay rates are one to one related with transitions from one active sub-network sequence (cell type) to another. This might be a key ingredient to understand a series of recent experimental facts reported on the role of decay-rate regulation systems and the role of noise in cell differentiation The eigenvalues stable and perturbations of concentrations vanish if accessible if inaccessible otherwise. Stationary solutions of a sequentially linear system therefore require fixed points that are both stable and accessible.Let Stable and accessible fixed points can be fully understood. Suppose agents We have seen that attractors either are fixed points or periodic. The longer periodic sequence of While eigenvalues tell us something about the stability of a fixed point the Lyaponov exponent Here we derive a simple approximation of the Lyapunov exponent of sequentially linear dynamics which explains temporal self-organization quantitatively. This is necessary for understanding why switching in general happens between active networks with stable and unstable dynamics and not from one stable stable (unstable) to another stable (unstable) active network.Temporal balance and refocusing are two aspects of the temporal self-organizing principle manipulating switching times.Qualitative analysis of bounded attractors of sequentially linear dynamics has shown that the attractor is periodic and the Lyapunov exponent"}
+{"text": "In the past decade, a high incidence of somatic mitochondrial DNA (mtDNA) mutations has been observed, mostly based on a fraction of the molecule, in various cancerous tissues; nevertheless, some of them were queried due to problems in data quality. Obviously, without a comprehensive understanding of mtDNA mutational profile in the cancerous tissue of a specific patient, it is unlikely to disclose the genuine relationship between somatic mtDNA mutations and tumorigenesis. To achieve this objective, the most straightforward way is to directly compare the whole mtDNA genome variation among three tissues from the same patient. Considering the fact that most of the previous studies on the role of mtDNA in colorectal tumor focused merely on the D-loop or partial segment of the molecule, in the current study we have collected three tissues respectively recruited from 20 patients with colorectal tumor and completely sequenced the mitochondrial genome of each tissue. Our results reveal a relatively lower incidence of somatic mutations in these patients; intriguingly, all somatic mutations are in heteroplasmic status. Surprisingly, the observed somatic mutations are not restricted to cancer tissues, for the para-cancer tissues and distant normal tissues also harbor somatic mtDNA mutations with a lower frequency than cancerous tissues but higher than that observed in the general population. Our results suggest that somatic mtDNA mutations in cancerous tissues could not be simply explained as a consequence of tumorigenesis; meanwhile, the somatic mtDNA mutations in normal tissues might reflect an altered physiological environment in cancer patients. In the past decade, the role of mitochondrial DNA (mtDNA) mutation in tumorigenesis has received much attention. A high incidence of somatic mtDNA mutations, mostly in homoplastic, has been identified in nearly all types of cancerous tissues In the present study, we performed the whole mitochondrial genome screening for somatic mutation in paired cancerous and non-cancerous tissues from 20 patients with colorectal cancer. By using the same quality control measures as adopted in our previous studies in complete mtDNA sequencing http://www.ncbi.nlm.nih.gov/Genbank/) with accession numbers GU392048\u2013GU392106. All the mtDNA variable sites of each tissue have been displayed on a schematic tree under study do not harbor any mtDNA somatic mutation in their cancerous tissues, one explanation could be that it is the modification in nuclear genome which has contributed to the tumorigenesis in the samples without involving any mtDNA changes. The frequency of mtDNA somatic mutations observed in our current study, which is comparable to our previous results on breast cancer , corresponding para-cancerous normal tissues (CP1\u2013CP10) and distant normal tissues (CN1\u2013CN10), which were taken from 20 Chinese patients with colorectal cancer during surgery with informed consent. The cancerous tissue was confirmed by HE-stained slides of the frozen section after surgery, whereas the para-cancerous normal tissue was obtained from the normal tissue surrounding the cancer, and the distant normal tissue is at least 5 cm away from the edge of the cancer tissue. All the patients were clinically diagnosed with stage I colorectal cancer according to the clinical standard for the category of the cancer Total genomic DNA was respectively extracted from the para-cancerous tissue, primary cancerous tissue and distant normal tissue by using the standard phenol/chloroform method. The entire mtDNA genomes were amplified and sequenced as fully described in our previous studies To avoid potential problems and errors observed in the published mtDNA disease studies For the observed heteroplasmic mutation during the direct DNA sequencing, we further confirmed it by denaturing high-performance liquid chromatography (DHPLC) .Table S1Somatic mtDNA mutations identified in 20 colorectal patients(DOC)Click here for additional data file.Table S2Comparison of the frequency of individuals harboring heteroplasmic mtDNA mutations in normal population and in cancer patients.(DOC)Click here for additional data file."}
+{"text": "Currently, investigations into disease onset and progression in mouse models of these conditions depend on somewhat unreliable tests that only measure a few motor functions. Now, Mandillo et al. validate an automated home-cage wheel-running system for the measurement of early motor deficits in mouse disease models. By undertaking studies at two centres, the researchers show that the system consistently detects differences in performance among four inbred strains of mice. They also report that the system allows the detection of very early motor function deficits in mutant mouse models of two progressive neurodegenerative diseases and in a mouse strain with subtle gait abnormalities. This new test therefore provides a reliable method for detecting motor deficits at pre-symptomatic stages in mouse disease models that should be useful in longitudinal investigations of potential therapeutic agents."}
+{"text": "Evidence supporting the essential role of brain-derived ethanol metabolites in the excitation of dopamine (DA) midbrain neurons has multiplied in the last 10\u201315 years. The pioneer and influential behavioral studies by CM Aragon and colleagues (Hip\u00f3lito et al., Collectively, the data reviewed suggest that Sal could be the responsible for the activation of the VTA DA neurons after ethanol administration. However, to definitively link Sal to ethanol-derived excitation of DA mesolimbic system after ethanol consumption, it is compulsory resolving, at least, two important interrogations. First, it is crucial to demonstrate the existence of an increase of VTA Sal levels after acute local or systemic ethanol administration. Second, it would be also decisive to establish a clear correlation between changes in VTA Sal levels and excitation of VTA DA neurons after ethanol administration. Future experiments on these crucial issues may be pivotal to unambiguously probe the involvement of Sal in the excitation of DA mesolimbic neurons after ethanol administration."}
+{"text": "Rationale: Dense array EEG (dEEG) evenly covers the whole head surface with over 100 channels contributing to more accurate electrical source imaging due to the higher spatial and temporal resolution. Several studies have shown the clinical utility of dEEG in presurgical clinical evaluation of epilepsy. However validation studies measuring the accuracy of dEEG source imaging are still needed. This can be achieved through simultaneously recording both scalp dEEG with intracranial electrodes (icEEG), which is considered as the true measure of cortical activity at the source. The purpose of this study is to evaluate the accuracy of 256-channel dEEG electrical source estimation for interictal spikes.Methods: Four patients with medically refractory neocortical epilepsy, all surgical candidates, underwent subdural electrode implantation to determine ictal onset and define functional areas. One patient showed a lesion on the magnetic resonance imaging in the right parietal lobe. The patient underwent simultaneous recording of interictal spikes by both scalp 256-channelsvdEEG and icEEG. The dEEG was used to non-invasively estimate the source of the interictal spikes detected by the 256-channel dEEG array, which was then compared to the activity measured directly at the source by the icEEG.Results: From the four patients, a total of 287 interictal spikes were measured with the icEEG. One hundred fifty-five of the 287 spikes (54%) were visually detected by the dEEG upon examination of the 256 channel head surface array. The spike amplitudes detected by the 256-channel dEEG correlated with icEEG spike amplitudes (p\u2009<\u20090.01). All spikes detected in dEEG were localized to the same lobe correctly.Conclusion: Our study demonstrates that 256-channel dEEG can reliably detect interictal spikes and localize them with reasonable accuracy. Two hundred fifty-six-channel dEEG may be clinically useful in the presurgical workup for epilepsy and also reduce the need for invasive EEG evaluation. For patients with intractable epilepsy, surgical therapy is an important treatment option. Although the propagation of seizures may involve complex cerebral networks, surgical resection of the cortical zone of seizure onset may be effective, if this zone can be identified and delineated from surrounding tissue. The first stage of diagnostic tests is typically non-invasive, with the goal being to characterize the epileptogenic zone as comprehensively as possible in order to guide the next stage of invasive testing with intracranial electrodes that confirms the decision on resective surgery.Magnetoencephalography (MEG) and electroencephalography (EEG) have both been used as non-invasive methods in the electrophysiological evaluation of the epileptogenic zone. A number of studies has shown that multi-channel MEG is useful for dipole localization of interictal spike events, especially in neocortical epilepsy, where the sources may be more superficial (closer to the skull) compared to epilepsy with deeper sources, such as mesial temporal lobe epilepsy and CT (for skull conductivity), the conventional 21-channel scalp EEG does not have high enough spatial resolution to allow for accurate source localization in most cases -single-photon emission tomography (SPECT), 18-F fluorodeoxyglucose (FDG)-Positron emission tomography (PET), and neuropsychological testing. Clinical information for these patients is summarized in Table We received approval for this study from Seirei Hamamatsu General Hospital Human Subject Committee and informed consent was obtained from all patients.Subdural strip and grid electrodes were implanted for each patient in order to delineate the epileptogenic zone for cortical excision, and to separate it from functional areas. All electrode contacts were platinum, and interelectrode distance was 10\u2009mm. The location and types of subdural electrodes used for each patient are shown in Table The dEEG was recorded with the 256-channel Geodesic Sensor Net , providing 257 electrodes (including vertex reference) covering the face and neck as well as cranium, with 20\u201325\u2009mm interelectrode distances. The coverage of the face and neck is important for measuring the downward projection of electrical potentials from basal brain regions.We conducted simultaneous icEEG recording with NicoletOne and dEEG with Net Amp300 at 1\u2009kHz sampling with bandpass filter 0.1 and 400\u2009Hz for approximately 30\u201340\u2009min. A digital pulse from the icEEG system was provided to the dEEG acquisition system for synchronization. Prior to the simultaneous icEEG-dEEG recording, each patient recovered from the intracranial placement for at least 3\u2009days, allowing surgical wounds to heal to avoid infection risk during simultaneous scalp recording. There were no complications due to any of the simultaneous recordings.Frequent epileptiform discharges were selected during artifact free periods in the simultaneous dEEG and icEEG recordings. Interictal spikes seen in icEEG were visually identified by a certified EEG technologist (MY) and confirmed by a board-certified clinical epileptologist (AF). As expected, many of the icEEG spikes were not detectible by inspection of the dEEG. We calculated the spike detection rate of 256-channel dEEG (with the icEEG detection as the criterion), and we measured the average maximum amplitude for both the icEEG detected spikes and the smaller subset of dEEG detected spikes.Electrical source localization was conducted at the rising phase for the dEEG detected spikes with a linear inverse method (LAURA) using the GeoSource 1.0 software packageA total of 287 spikes were recorded in icEEG with four patients during recordings of approximately 30\u201340\u2009min each. One hundred fifty-five of these spikes (54%) were also clearly distinguishable from background activity in the simultaneously recorded dEEG. The dEEG detection rate for the spikes verified by icEEG for each patient is summarized in Table p\u2009<\u20090.01) than that of dEEG undetectable spikes . The average maximal icEEG amplitude of mesial temporal spikes that were also detectable by the scalp dEEG was 1112\u2009\u03bcV (standard deviation of 197\u2009\u03bcV), significantly higher (p\u2009<\u20090.01) than that of dEEG undetectable spikes .The average maximal icEEG amplitude of neocortical interictal spikes that were also detectable by the scalp dEEG was 968\u2009\u03bcV (standard deviation of 139\u2009\u03bcV), significantly higher , IId (case 1), and IIIa (case 2) within the post-operative follow-up period 23\u201335\u2009months at this time .Simultaneous recording of non-invasive dEEG with icEEG allowed a direct comparison of the sensitivity of dEEG to epileptiform events (spikes) that were confirmed by intracranial recordings. In these four patients with neocortical epilepsy, the non-invasive dEEG localization of spikes predicted not only the intracranial location of the spikes, but also the cortical location of seizure onset Figure .Clearly there were many spikes visible in the icEEG that were not detected through visual inspection of the dEEG. For the neocortical spikes identified by icEEG in the present study, the dEEG spike detection rate was 56%. As would be expected, the dEEG detected spikes were consistently larger in amplitude than the dEEG undetected spikes in each patient. For the mesial temporal spikes examined in our previous studies with simultaneous icEEG and dEEG , requires precise accuracy because the epileptogenic zones are often located adjacent to critical functional areas of cortex (Otsubo et al., There were several important technical limitations of this study that should be addressed in future research. We used standard 3D sensor positions, rather than the precise 3D locations of the 256-channels for each individual net application, such as can be obtained with photogrammetry (Russell et al., Simultaneous recording of dEEG and icEEG allows direct examination of the accuracy of localizing cortical electrical sources from non-invasive dEEG recordings. In four patients with neocortical epilepsy examined with 256-channel dEEG, we observed good prediction of both the interictal spikes and seizure onset as verified by icEEG. Careful non-invasive analysis of the patient\u2019s typical interictal events with dEEG may be an important first step in the neurosurgical planning for resection of the seizure onset zone.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Using a zebrafish line in which neutrophils are labelled by GFP expression, the team screened a library of fungi-derived compounds and pinpointed a mycotoxin and a natural antibiotic with specific inhibitory effects on neutrophil migration. An in vivo imaging assay showed that the antibiotic acts independently of commonly implicated signalling pathways, suggesting an unanticipated mechanism of action. This work demonstrates that zebrafish can be used as a robust in vivo platform for high-throughput drug discovery. Page 163Neutrophils are key cells of the innate immune system, the first line of defense against infection. However, neutrophils can drive a chronic inflammatory response that underlies the pathogenesis of many common diseases, including chronic obstructive pulmonary disease and inflammatory bowel disease. Despite the prominence of neutrophil-mediated inflammation in disease, there are no suitable neutrophil-targeted treatments currently available. A new report from the laboratories of Stephen Renshaw and Philip Ingham describes a novel approach for the rapid identification of compounds that can inhibit neutrophil recruitment in response to tissue injury"}
+{"text": "The high sample rate provides an attractive approach for karyotype analysis (flow karyotyping) and the purification of chromosomes in large numbers. In characterizing the chromosome complement of an organism, the high number that can be studied using flow cytometry allows for a statistically accurate analysis. Chromosome sorting plays a particularly important role in the analysis of nuclear genome structure and the analysis of particular and aberrant chromosomes. Other attractive but not well-explored features include the analysis of chromosomal proteins, chromosome ultrastructure, and high-resolution mapping using FISH. Recent results demonstrate that chromosome flow sorting can be coupled seamlessly with DNA array and next-generation sequencing technologies for high-throughput analyses. The main advantages are targeting the analysis to a genome region of interest and a significant reduction in sample complexity. As flow sorters can also sort single copies of chromosomes, shotgun sequencing DNA amplified from them enables the production of haplotype-resolved genome sequences. This review explains the principles of flow cytometric chromosome analysis and sorting (flow cytogenetics), discusses the major uses of this technology in genome analysis, and outlines future directions.Nuclear genomes of human, animals, and plants are organized into subunits called chromosomes. When isolated into aqueous suspension, mitotic chromosomes can be classified using flow cytometry according to light scatter and fluorescence parameters. Chromosomes of interest can be purified by flow sorting if they can be resolved from other chromosomes in a karyotype. The analysis and sorting are carried out at rates of 10 With some rare exceptions were analyzed in a short time and the position of peaks in flow karyotypes corresponded with the expected distribution of chromosomal DNA content. Microscopic analysis of particles sorted onto microscope slides from each peak showed less than 20\u00a0% contamination with other chromosomes. Subsequent flow measurement of chromosomes from two Chinese hamster cell lines indicated a potential to detect chromosome rearrangements such as translocations . Initial et al. . This apl et al. , karyolol et al. , and notl et al. , 1989 sul et al. . The merl et al. .Plant mitotic chromosomes were initially released by lyzing synchronized cells into a hypotonic buffer after the enzymatic removal of their walls are analyzed in a short time to generate univariate or bivariate flow karyotypes. This provides an accurate measurement of the frequency of different chromosome types. For instance, trisomy 21 appears as a 50-% increase in the volume of peak representing chromosome 21 as compared with other chromosome types . A successful attempt to label animal and human chromosomes in suspension was reported by Brind\u2019Amour and Lansdorp and have been a key breakthrough in genome sequencing projects. The flow-sorted chromosome-based analysis of the wheat and barley genomes has simplified positional gene cloning especially in wheat because it is a polyploid genome, almost four times larger than that of human.Construction of physical maps and positional gene cloning requires large-insert DNA libraries. Although their construction requires large amounts of high molecular weight DNA, numerous libraries were constructed successfully from partially digested chromosomal DNA by cloning into cosmid . Production of chromosome painting probes revolutionized clinical and research cytogenetics and provided an instrument to study structural chromosome changes accompanying genome evolution in human and many lineages of animals. Dissecting large and complex genomes of some crops to smaller, chromosome-based parts has facilitated the construction of physical maps, positional gene cloning, and genome sequencing. Coupling flow cytogenetics with high-resolution DNA arrays and mass parallel sequencing has led to new applications with enormous potential for genome analysis and suggests that technology will continue to play a significant role in many areas of genetic and genomic research.Flow cytometric chromosome analysis and sorting (flow cytogenetics) is a unique technology which requires specialized equipment and thus has never been mastered by many research teams. This contrasts with the enormous impact the technology has made during the past 35\u00a0years in many areas of basic and applied research in human and many animal and plant species. Success was possible also due to the fact that molecular chromosome resources could be distributed worldwide from a few specialized laboratories. This mode of work stimulates international collaborations in which several laboratories work in parallel on different chromosomes. For example, the availability of chromosome-specific DNA libraries greatly facilitated the initial phases of the human genome sequencing project. In wheat, the production and distribution of chromosome arm-specific BAC libraries has underpinned the current international effort to sequence the huge genome (Feuillet and Eversole"}
+{"text": "The shift in marine resource management from a compartmentalized approach of dealing with resources on a species basis to an approach based on management of spatially defined ecosystems requires an accurate accounting of energy flow. The flow of energy from primary production through the food web will ultimately limit upper trophic-level fishery yields. In this work, we examine the relationship between yield and several metrics including net primary production, chlorophyll concentration, particle-export ratio, and the ratio of secondary to primary production. We also evaluate the relationship between yield and two additional rate measures that describe the export of energy from the pelagic food web, particle export flux and mesozooplankton productivity. We found primary production is a poor predictor of global fishery yields for a sample of 52 large marine ecosystems. However, chlorophyll concentration, particle-export ratio, and the ratio of secondary to primary production were positively associated with yields. The latter two measures provide greater mechanistic insight into factors controlling fishery production than chlorophyll concentration alone. Particle export flux and mesozooplankton productivity were also significantly related to yield on a global basis. Collectively, our analyses suggest that factors related to the export of energy from pelagic food webs are critical to defining patterns of fishery yields. Such trophic patterns are associated with temperature and latitude and hence greater yields are associated with colder, high latitude ecosystems. Resident fish yield in the Northeast Pacific for eleven different fishing areas was strongly and linearly correlated (r2\u200a=\u200a0.87) with the mean chlorophyll a concentration, which provided an adequate proxy of primary production in this system a and fisheries yield (r2\u200a=\u200a0.69) was found across nine coastal areas in the Northwest Atlantic 2\u200a=\u200a0.73) and for all fish species (r2\u200a=\u200a0.64) 2\u200a=\u200a0.96), but the analysis included only 10 sites and excluded upwelling regions and areas with strong tidal mixing. In the regional analyses for marine ecosystems, where yield and some measure of primary production have been examined, the linear relationship is generally positive; however, this relationship is not consistent when global patterns are examined.Regional-scale analyses, those that have analyzed a subset of world ocean basins or some portion of a basin, have used both measured and proxy estimates of primary production as a predictor of the associated fish yield. One often-used proxy of primary production is chlorophyll \u22122 y\u22121) Robust relationships between estimates of primary production and fisheries yield at global scales have been difficult to discern. In an analysis of global fishery yields disaggregated by 64 globally-distributed Large Marine Ecosystems (LMEs), total yields were found to scale with rates of net primary production sensor. We used the monthly level-3 processed data averaged over each LME for the period 1998\u20132009 to compute an annual mean concentration (mg m\u22123) (http://oceancolor.gsfc.nasa.gov). Chlorophyll concentrations were fourth root transformed for the Pearson product-moment correlation analysis.Chlorophyll http://www.science.oregonstate.edu/ocean.productivity). The Vertically Generalized Production Model (VGPM) estimates NPP using photosynthetically available radiation, chlorophyll, an estimate of the euphotic zone depth, and a temperature-dependent estimate of the maximum photosynthetic rate th order polynomial to describe the relationship between the maximum photosynthetic rate and temperature which was derived from a North Atlantic dataset and exhibits a peak near 20\u00b0C. The Eppley-VGPM replaces the 6th-order polynomial with a monotonically increasing exponential relationship supported by global compilations of phytoplankton growth rate data There are a large number of algorithms used to estimate NPP from remote sensing data. The remote sensing community has conducted a series of reviews titled \u201cprimary production algorithm round robins\u201d (PPARR) that evaluated NPP models using a range of performance statistics and differing calibration datasets Eppley-VGPM had root mean square difference (RMSD) errors that were lower than the VGPM model in 9 of 10 study sites , decreasing pe-ratios with increasing euphotic zone depth (attributed to extended time in the euphotic zone before export), and increasing pe-ratios with increasing primary productivity . We used the multi-linear regression fit provided in Dunne et al. pe-ratio, which is given as:eu is the euphotic zone depth, estimated from surface chlorophyll using the relationships of Morel and Berthon tot is the total pigment or total chlorophyll a content within the euphotic layer, which is scaled non-linearly with chlorophyll concentration in the surface layer of the ocean, Csur.pe-ratio based on Eppley-VGPM was log-normally distributed so a log-transformed was used for the Pearson product-moment correlation analysis. The product of pe-ratio and NPP yields an estimate of particle export flux, pe-flux, which unlike the scalar of pe-ratio represents a system flux rate. This flux was log transformed for the Pearson product-moment correlation analysis.There are a number of published models to estimate the ratio between rapidly sinking particulate matter from the euphotic zone and primary production, or the particle export ratio (z-ratio) for each LME from the model estimates provided in Stock and Dunne z-ratio estimates derived from in situ measurements of primary production, mesozooplankton biomass, and empirically-derived estimates of mesozooplankton growth rates z-ratio estimates obtained from the mesozooplankton biomass estimates from the COPEPOD database z-ratios, but is characterized by considerable small-scale variability from fluctuations in mesozooplankton biomass. The model indicates a pronounced increase in the z-ratio as primary productivity increases, with the transition to high z-ratios occurring at lower NPP in cold water Total monthly fisheries yield is correlated to annual mean SST and LME centroid latitude in a complementary fashion: greater yield is associated with lower mean SST and positively correlated with higher latitudes . The pria concentration with chlorophyll ntration for bothntration . All thentration .Eppley-VGPM NPP resulted in a bivariate distribution with respect to total fisheries yield with no detectable correlation using either the untransformed or transformed data in both untransformed and transformed data treatments and phytoplankton biomass . Both of these interpretations have serious limitations at global scales. The assignment of high chlorophyll concentration in an environment as a proxy for phytoplankton biomass can be problematic. Chlorophyll concentration can indicate the potential of substantial net primary production, but also the capacity of the phytoplankton assemblage to outgrow and/or inhibit predation activity The concentration of chlorophyll a, particle export flux and the ratio of mesozooplankton production to primary production are highly correlated with fishery yields on a global basis. The former is directly related to measures of the ratio of new primary production to total production (the sum of new and recycled production). New primary production is directly available to mesozooplankton which in turn supports production of upper trophic levels. The ratio of mesozooplankton production to primary production reflects transfer efficiencies between two critical components of the food web affecting fishery productivity. These metrics provide more detailed insights to fishery production throughout the world ocean than chlorophyll concentration alone. The additional mechanistic detail, coupled with their ability to explore different pathways and respond to more explicitly known processes offsets the less than straightforward calculations needed to obtain such measures as compared to chlorophyll a estimates. Although all three measures are associated with global fisheries yields, the rationale for why one would want to use these rate measures beyond the easier to measure and obtain chlorophyll a estimates reside in the purpose of exploring such relationships; simple and cursory predictions may imply chlorophyll would be fine in some circumstances, whereas more nuanced considerations and explorations would likely merit use of the rate measures we describe here.While the detection of chlorophyll is more directly indicative of the dynamics of the lower trophic level of a region than is latitude or SST, a more complete understanding of the mechanisms underlying the global scale relationship of chlorophyll and fisheries yield is needed. Like chlorophyll pe- and z-ratios with increasing NPP, and second, SST is negatively correlated with both ratios for the vast majority of NPP values. These two patterns correlate to the observed high fishery yields in moderate to highly productive ecosystems in temperate and sub-polar regions, producing improved correlations relative to primary production.Particle export flux and mesozooplankton production are both estimates of the export of energy from the planktonic foodweb to forms more readily available to fisheries and offer deeper mechanistic understanding still of fishery production processes. Such a connection can be used to understand differences in yield among regions. Two major patterns are apparent in the particle flux and mesozooplankton production indices: first , there is a non-linear transition from low to high pe-/z-ratios and particle export fluxes/mesozooplankton production to high values with increasing NPP (z-ratio because ingestion rates become large relative to basal metabolic costs in more productive ecosystems. These explanatory mechanisms are consistent with Ryther's theoretical arguments for the relationship between primary production and fish production A major driver of the shift from low sing NPP is the tpe- and z-ratio in a number of ways to create the negative correlation with SST. First, faster remineralization rates in warmer temperatures decrease pe-ratios in warm water ecosystems z-ratio, simultaneous increases in phytoplankton growth rates and zooplankton ingestion rates with increasing temperature stabilizes the biomass at which small phytoplankton growth nears its maximum and large phytoplankton becomes prevalent. The small phytoplankton growth rate at this transition point, however, is higher at higher temperatures z-ratio estimates derived from a combination of in-situ data and empirical models Temperature acts on the There was no strong evidence in the analysis that pelagic and demersal fisheries respond differently to primary production and rates related to trophic transfer. In particular, estimated particle export flux and mesozooplankton production performed similarly well as predictors of both pelagic and demersal fish, though the former flux is thought to primarily fuel benthic production and the later pelagic. This in part reflects the similarity of emergent trends in both quantities that arises for the common linkage of these quantities to changes in planktonic foodweb structure. It may also reflect the prevalence of fish that interact with both the demersal and pelagic foodwebs, supporting the interpretation that many functional groups assumed to feed in a particular sector of the water column likely feed in multiple sectors. As has been noted, many of these fishes show clear feeding tendencies, but even appropriation into feeding guilds still exhibits high dietary overlaps across guilds pe- and z-ratios represent low-frequency broad-scale changes that underlie significant unresolved spatial and temporal variations. In the case of the z-ratio, the modeled transition to high z-ratio state is delayed relative to independent z-ratio estimates. Analysis against region-specific data and further improvement of these models is needed. A second consideration is the potential impact of uncertainties in satellite-based NPP measurements; as model validation improves with improving global calibration data, NPP estimates should be re-evaluated. Thirdly, NPP temporal variability has recently been associated with catch trophic level and yield leading to the suggestion that lower yields are associated with less variable ecosystems and higher yield associated with greater variability There are a number of limitations of the analyses herein that will be addressed in future work. First, the observed patterns in pe-ratio also suggests that ecosystem models not only need to account for lower trophic level linkages, but should also explicitly model the vertical distribution of organic carbon. It would seem the dimensional distribution of particulate carbon energy may be important to movement of energy up the food chain and that reduction of energy distribution from three to two dimension plays a role. It would be useful to explore other measures of energy movement beyond pe-ratio which is tied to rates of primary production. It may be useful to consider rates independent of phytoplankton production or rates related to plankton biomass. Furthermore, it would be useful to explore regional and time series data to see if relationships could be developed to estimate yield potential based on the spatial aspects of the trophic transfer of primary production.Accounting for variations in the dynamics of planktonic ecosystems in the context of NPP and temperature change remains an essential step for understanding upper trophic level yields. Understanding these trophic linkages should guide more parsimonious ecosystem model development, especially as it relates to linked ecosystem models that may be applied to fishery and marine spatial planning problems. The prominence of the association between yield and"}
+{"text": "The studies suggest a complex interaction between cannabis and Nrg1: the neuro-behavioral effects of cannabinoids were different in Nrg1 mutant and control mice and depended on exposure time, sex, and age of test animals. This research provides the first evidence of complex cannabis-Nrg1 interactions suggesting Nrg1 as a prime target for future clinical investigations. Furthermore, it highlights that animal model research can broaden our understanding of the complex multi-factorial etiology of schizophrenia. Finally, the findings are important to preventive psychiatry: if the genes that confer genetic vulnerability to cannabis-induced psychosis were identified patients at-high risk could be forewarned of the potential dangers of cannabis abuse.The link between cannabis and psychosis has been debated although there is substantial epidemiological evidence showing that cannabis increases the risk of psychosis. It has been hypothesized that schizophrenia patients carrying particular risk genes might be more sensitive to the psychosis-inducing effects of cannabis than other patients and healthy test subjects. Here we review the effects of cannabinoids on a mutant mouse model for the schizophrenia candidate gene Neuregulin 1 (NRG1) is one of the more promising schizophrenia candidate genes as associations with schizophrenia have been found in several studies was implicated in conferring vulnerability to cannabis-induced psychosis during adolescence and exhibited a greater behavioral sensitivity to the long-term effects of THC , which is devoid of psychoactive properties and has been reported to block or reverse effects of THC and have antipsychotic properties has shown compelling face, construct, and partial predictive validity for schizophrenia research receptors . Surprisingly, the mutants also showed improved sensorimotor gating following THC challenge as measured by prepulse inhibition of the startle response (PPI) . In summary, these animal studies provided the very first evidence for an interaction between the schizophrenia risk gene Nrg1 and cannabis and implied that stress and gender may also influence these interactions.The increased behavioral susceptibility of male Nrg1 mutants to long-term cannabinoid exposure. Nrg1 mutant and control mice were treated chronically with the synthetic CB1 receptor agonist CP 55,940 . Mutant mice showed a selective increase in CP 55,940-induced FosB/\u0394FosB expression in the LSV, which is a marker for long-term neuroadaptive changes. These findings suggest that Nrg1 is not only involved in the acute neuro-behavioral response to cannabinoids but also modulates neuroadaptive responses to long-term cannabinoid challenge. Furthermore, it confirms the LSV as an important brain region for Nrg1\u2013cannabinoid interactions. This could be related to the fact that the lateral septum shares reciprocal projections with the hypothalamus and the amygdala and receives cognitive input from the hippocampus and the prefrontal cortex . Interestingly, ErbB4 is localized in dopaminergic neurons in the substantia nigra at baseline. Furthermore, chronic CBD also increased GABAA receptor binding in the granular retrosplenial cortex of mutant mice suggesting that Nrg1 may not only modulate neuro-behavioral actions of THC but also of CBD in a task- and brain region-specific manner. Further research using a variety of CBD doses thereby considering dose and age-effects will address the issue of varying or even opposing effects of different cannabinoids more comprehensively.The Nrg1 mouse model has enabled the detailed analysis of acute vs. chronic effects of cannabinoids at different stages of brain development. Nrg1 modulated the behavioral sensitivity of mice to cannabinoids differentially during adolescence and adulthood providing evidence for a role of Nrg1-cannabis interactions in schizophrenia. Furthermore, insights into the molecular and neurobiological mechanisms of Nrg1-cannabinoid interactions would not have been possible without utilizing these mouse mutants. Future research will extend on our initial findings and address sex specificity and the opposite effects of CB1 stimulation in adolescence (Nrg1 mutant less susceptible) and adulthood (Nrg1 mutants more susceptible) in greater detail. Finally, models of cannabinoid addiction should be considered given the significant comorbidity of schizophrenia and drug dependence.In summary, the transmembrane domain The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Head movements can greatly affect swallowing accelerometry signals. In this paper, we implement a spline-based approach to remove low frequency components associated with these motions. Our approach was tested using both synthetic and real data. Synthetic signals were used to perform a comparative analysis of the spline-based approach with other similar techniques. Real data, obtained data from 408 healthy participants during various swallowing tasks, was used to analyze the processing accuracy with and without the spline-based head motions removal scheme. Specifically, we analyzed the segmentation accuracy and the effects of the scheme on statistical properties of these signals, as measured by the scaling analysis. The results of the numerical analysis showed that the spline-based technique achieves a superior performance in comparison to other existing techniques. Additionally, when applied to real data, we improved the accuracy of the segmentation process by achieving a 27% drop in the number of false negatives and a 30% drop in the number of false positives. Furthermore, the anthropometric trends in the statistical properties of these signals remained unaltered as shown by the scaling analysis, but the strength of statistical persistence was significantly reduced. These results clearly indicate that any future medical devices based on swallowing accelerometry signals should remove head motions from these signals in order to increase segmentation accuracy. Patients living with the effects of stroke or neurodegenerative conditions commonly encounter swallowing difficulties (dysphagia) Previous contributions have observed that swallowing accelerometry signals contain low frequency components associated with head motions e.g., . ExtensiIn this paper, we analyzed the data collected in previous studies of swallowing accelerometry First, each participant was cued to perform 5 saliva swallows. Subsequently, the participant completed 5 water swallows by cup with their chin in the natural position and 5 water swallows in the chin-tucked position , while schemes based on higher order polynomials take longer time to execute Our data analysis was a three-part process. The first two parts involved the analysis of the proposed approach using synthetic signals, while the third part involved the analysis of real dual-axis swallowing accelerometry signals that were acquired as described in Section \u201cData collection\u201d.In the first part, we simulated swallowing signals to analyze the effects of varying signal-to-noise ratio (SNR) on the value of Using these simulated signals, our goal was to investigate the optimal value of In the second part of the analysis we compared performances of our approach against well known approaches based on empirical mode decomposition (EMD) The third part of our experiment involved the analysis of real swallowing signals as described in Section \u201cData collection\u201d. Specifically, we examined the effect of removing low frequency components associated with head movements on segmentation accuracy and statistical persistence observed in these signals. To investigate the effects on the segmentation accuracy, we initially segmented recordings containing head movements using the procedure described in In order to establish statistical significance of our results, a non-parametric inferential statistical method known as the Mann-Whitney test was used The results for the last part of our analysis are summarized in We should mention that removing low frequency components associated with head motions did introduce any previously unreported trends In this paper, an approach for the removal of low frequency components associated with head movements was proposed for dual-axis swallowing accelerometry signals. The scheme is based on spline least square approximations of the signal and is well-suited for long signals. First, we carried out a comparative analysis of our spline-based scheme against well-known approaches using synthetic signals. We found that the spline-basesd scheme provided more accurate segmentation results. Then, dual-axis swallowing accelerometry signals collected during 3 swallowing tasks completed by 408 healthy participants were processed using the spline approach. In particular, we found that by removing low frequency components associated with head movements we increased the accuracy of the segmentation process. Nevertheless, we observed a significant decrease in the strength of statistical persistence suggesting that any accelerometry-based decision support tools should remove these low-frequency components since they could confound the decision support process."}
+{"text": "The increased risk of coronary artery disease in human immunodeficiency virus (HIV) positive patients is collectively contributed to by the human immunodeficiency virus and antiretroviral-associated dyslipidaemia. In this study, we investigate the characterisation of the plasma lipid profiles of treated HIV patients and the relationship of 316 plasma lipid species across multiple lipid classes with the risk of future cardiovascular events in HIV- positive patients.In a retrospective case-control study, we analysed plasma lipid profiles of 113 subjects. Cases (n\u200a=\u200a23) were HIV-positive individuals with a stored blood sample available 12 months prior to their diagnosis of coronary artery disease (CAD). They were age and sex matched to HIV-positive individuals without a diagnosis of CAD (n\u200a=\u200a45) and with healthy HIV-negative volunteers (n\u200a=\u200a45).Association of plasma lipid species and classes with HIV infection and cardiovascular risk in HIV were determined. In multiple logistic regression, we identified 83 lipids species and 7 lipid classes significantly associated with HIV infection and a further identified 74 lipid species and 8 lipid classes significantly associated with future cardiovascular events in HIV-positive subjects. Risk prediction models incorporating lipid species attained an area under the receiver operator characteristic curve (AUC) of 0.78 ) and outperformed all other tested markers and risk scores in the identification of HIV-positive subjects with increased risk of cardiovascular events.Our results demonstrate that HIV-positive patients have significant differences in their plasma lipid profiles compared with healthy HIV-negative controls and that numerous lipid species were significantly associated with elevated cardiovascular risk. This suggests a potential novel application for plasma lipids in cardiovascular risk screening of HIV-positive patients. With advances in antiretroviral therapy (ART) and the management of HIV disease there have been substantial improvements in disease-free survival for individuals with HIV Disequilibrium in lipid metabolism is key to the formation and rupture of the atherosclerotic plaques which underpin coronary artery disease (CAD). ART-induced dyslipidaemia is classically characterised by elevated triglycerides, total cholesterol and low-density lipoprotein cholesterol (LDL-C), with reduced high-density lipoprotein cholesterol (HDL-C) Attempts to rectify this by incorporating HIV factors such as the duration of exposure to specific antiretrovirals into traditional risk scores have to date not contributed significantly to the overall accuracy of risk predication models This study aims to describe the differences in plasma lipid profiles between HIV-positive patients with and without CAD and healthy participants so as to develop and cross-validate a predictive model for future cardiovascular events in HIV-positive patients.Participants provided written informed consent for the original study and for their samples to be stored and used for future research. This project received ethics approval from the Alfred Hospital Research and Ethics Committee (Project number 205/09).This study was based on a subset of patients drawn from a retrospective case- control study on HIV-positive patients who were seen at the Alfred Hospital, Melbourne, Australia from January 1996 to December 2009. The aim of original study was to determine risk factors for the development of CAD in the Australian context. A detailed description of the methods and results have been described elsewhere Stored specimens were retrieved from The Victorian HIV Blood and Tissue Storage Bank (VHBTSB) . From the original study, 23 HIV cases had stored plasma samples available. The 23 cases were frequency-matched for age, sex, body mass index (BMI) and systolic blood pressure to 45 HIV controls for lipidomic profiling. Samples from 45 HIV-negative healthy subjects with no prior history of cardiovascular disease were drawn from the Baker IDI Heart and Diabetes Institute biobank and also frequency- matched to the HIV controls for age, sex, BMI, systolic blood pressure and date of sample collection.Lipidomic analysis of 316 lipid species from 24 lipid classes was performed as previously described Multiple binary logistic regression was applied to examine the association of plasma lipid species with HIV infection independent of cardiovascular risk. This analysis was based on the HIV control group and the healthy control group adjusting for significant non-lipid related characteristics between the groups. To examine the association of plasma lipid species with cardiovascular risk in HIV subjects we applied multiple binary logistic regression adjusting for significant non-lipid related characteristics (current statin treatment) between the HIV case and HIV control groups. The odds ratios obtained in these analyses represent a change in the risk of being associated with an outcome (either being HIV-positive or having a future cardiovascular event if HIV-positive) corresponding to an interquartile range increase in lipid species measurement. The p-values were corrected for multiple comparisons using the Benjamini-Hochberg method Models were developed to predict future cardiovascular events in HIV-positive subjects through the application of statistical machine learning approaches similar to that applied in previous related work Participant characteristics for each group are described in There were six lipid classes that were negatively associated with HIV while diacylglycerol was positively associated . Not allWithin the HIV groups, diacylglycerol showed a further positive association with cardiovascular events and this was accompanied by positive associations in seven other lipid classes . There wThe performance of all predictive models for future cardiovascular events is presented in Dyslipidemia is well described and common in patients with HIV infection on ART. In our study, we describe the significant differences in plasma lipid profiles between HIV-positive patients and healthy HIV-negative volunteers, whilst also identifying lipid species significantly associated with future cardiovascular events in HIV-positive patients.Increased de novo lipogenesis, the process by which acetyl-CoA is converted to fatty acids, has previously been observed in HIV Interestingly, several lipid classes were found to be negatively associated with HIV infection, these included monohexosylceramide, dihexosylceramide, GM3 ganglioside and sphingomyelin all of which are metabolites of ceramide and suggest a possible dysregulation of sphingolipid metabolism in HIV infection , albeit Oxidative stress in HIV disease has previously been characterised in Pace et al. The observed positive association of diacylglycerol with both HIV infection and future cardiovascular events and triacylglycerol with future cardiovascular events appear to be consistent with previous findings The alterations of fatty acid metabolism leading to elevated free fatty acid and subsequently elevated diacylglycerol and triacylglycerol appear to be exacerbated in individuals who progress to the development of CAD and subsequent cardiovascular events. This also appears to affect other lipid metabolic pathways; while we observed a decrease in several ceramide metabolites associated with HIV infection, in those individuals who subsequently experienced a cardiovascular event we observe a positive association with ceramide itself that may be driven by a dual effect of increased free fatty acid leading to an increased ceramide production and a down regulation of ceramide conversion into downstream metabolites. Further effect of free fatty acids driving the production of phosphatidylethanolamine, phosphatidylglycerol and phosphatidylinositol were also observed . We haveAntiretroviral (ARV) therapy including the use of protease inhibitors (PIs), nucleoside reverse transcriptase inhibitors (NRTIs), non-nucleoside reverse transcriptase inhibitors (NNRTIs) and fusion inhibitors are known to have different effects on the plasma lipid profile We postulate that a patient's lipidomic response to HIV infection and HIV therapy can vary based on a number of currently unidentified factors and that patients who develop a more significant elevation of diacylglycerols and dysregulation of other related metabolic pathways are at higher risk of future cardiovascular events.Risk prediction models based on existing cardiovascular risk scores demonstrated limited performance in predicting cardiovascular events in the HIV-positive participants included in this study. The D:A:D (CHD 10 year) risk score which takes into account exposure to specific antiretroviral therapies in addition to traditional CAD risk factors, the Framingham (CHD 10 year) score and the Reynolds (CHD 10 year) scores were comparable in performance and did not perform as well as predictive models based on conventional lipid predictors . The conventional lipid model performed well and an accuracy \u200a=\u200a74.5% ) in reflecting the more severe dyslipidemia in HIV-positive subjects who experienced future cardiovascular events in this study. However, the lipid species model performed best with an AUC of 0.78 and an accuracy of 79% as it exploits more specific markers of the dyslipidemia at the individual species level.In conclusion, HIV-positive patients demonstrate significant abnormalities in their plasma lipid profiles compared with healthy volunteers. The degree of these changes appears to relate to the risk of future cardiovascular events. Predictive models of future cardiovascular events based on plasma lipid profiles demonstrate the potential to outperform traditional risk equations in HIV populations which, if confirmed in larger trials, may allow for the accurate, targeted utilisation of primary preventative strategies. The strongest markers associated with elevated cardiovascular risk in HIV-positive patients were identified to be diacylglycerol and triacylglycerol species where individual species outperform the clinical measure of triglycerides. This suggests the possible dysregulation of the triacylglycerol biosynthetic pathway and/or VLDL metabolism where individuals at greater risk display a more severe elevation in particular triacylglycerol species. This observation may have therapeutic implications and warrants further investigation into the effect of treatment of hypertriglyceridemia in HIV-positive subjects on diacylgylcerol and triacylglycerol levels. An extended study looking at the impact of individual antiretroviral regimens on plasma lipidome may further advance our understanding of the pathogenesis of ART-associated cardiovascular risk and allow for individualised treatment decisions in those at high risk.Statistical power is limited in this study due to its small sample size. Most HIV-positive participants in this study were treatment-experienced, but as these proportions were matched between the HIV cases and controls and we cannot comment on the individual contributions of HIV infection and ART to changes in lipid species. The study group were mostly male (91%) and so further studies are required to validate these findings in females. While the associations identified in the analysis are expected to hold in larger population-based studies, the predictive model for future cardiovascular events is proof-of-concept and does not represent a final model for clinical utility. The model does however demonstrate the potential gain in predictive performance that may be achieved through the use of plasma lipid species as novel biomarkers of cardiovascular risk over the use of conventional clinical lipids and existing cardiovascular risk scores.File S1This supplementary material contains Protocol S1 and Table S1. Experimental Protocol. Sample preparation and lipid extraction. High performance liquid chromatography-mass spectrometry analysis. Assay performance. Table S1. Association of lipid species and lipid classes with future cardiovascular events in HIV positive individuals and HIV infection.(DOCX)Click here for additional data file."}
+{"text": "Various neurons exhibit membrane potential (or subthreshold) resonance , a peak h) and persistent sodium (INap). This model is based on measurements for stellate cells (SCs) in layer II of the medial entorhinal cortex [h/INap model describes the cell's subthreshold dynamics and the onset of spikes [In this work, we investigate the firing frequency patterns generated in response to both current and conductance sinusoidal inputs in a biophysical (conductance-based) neuron model that includes two ionic currents: h- (Il cortex and captl cortex . The Ih/f spikes . Spikes f spikes ).h/INap model to both current and conductance sinusoidal inputs for a wide range of frequencies and input amplitudes (Ain). The resulting patterns for current and conductance input are qualitatively different. For current inputs, the firing frequency patterns show up to three prominent peaks with heights that differ only slightly. The number of peaks increases with increasing values of Ain. For small values of Ain, the peak input frequency coincides with the subthreshold resonant frequency. The voltage traces (voltage vs. time) corresponding different peaks for the same value of Ain have roughly the same number of spikes , and differ in the number of subthreshold oscillations interspersed in between two consecutive spikes. For conductance (excitatory) inputs, the firing rate patterns show multiple peaks with different heights. As Ain increases, the highest peak moves to the right. For input frequencies above 60 Hz, the firing rate and gain of the highest peak significantly increases relative to other peaks for the same value of Ain. This prominent peak reflects the fast time scale present in the model that has been shown to underlie hyper-excitable firing in SCs [We computed the firing rate and signal gain responses of the IWe use dynamical systems tools to explain the mechanism that govern the generation of the firing frequency patterns described above. We show that the nonlinearities present in the model and the time scale separation between voltage and the h-current gating variables play an important role in determining these patterns."}
+{"text": "Molecular mechanisms in the brain are assumed to cause the symptoms and severity of neuropsychiatric disorders. This review concerns the elusive nature of relationships between the severity of depressive disorders and neuromolecular processes studied by positron emission tomography (PET). Recent PET studies of human depression have focused on serotonergic, dopaminergic, muscarinic, nicotinic, and GABAergic receptors, as well as central processes dependent on monoamine oxidase, phosphodiesterase type 4, amyloid plaques, neurofibrillar tangles, and P-glycoprotein. We find that reliable causal links between neuromolecular mechanisms and relief from depressive disorders have yet to be convincingly demonstrated. This situation may contribute to the currently limited use of PET for exploring the neuropathways that are currently viewed as being responsible for beneficial effects of antidepressant treatment regimes. Depressive disorders continue to attract much attention due to their detrimental impact on individuals and societies and binding potentials (phenotypes). As a result, the findings cannot indicate whether there were any reliable differences between properties of serotonin transporters in depressed versus non-depressed subjects. Special procedures, most of which are unfamiliar to the present authors, were used in the data analysis to adjust for multiple correlated comparisons. Binding potentials of [11C]DASB by serotonin transporters in thalamus and insula were associated with one genetic variant of serotonin type 2A receptors (rs7333412). Laje and coworkers proposed that genetic variation in serotonin type 2A receptors and either functional aspects of serotonin transporters or central serotonergic transmission affect the therapeutic response to drug-induced inhibition of serotonin transport in major depression, although their findings provided no direct empirical evidence for such claims.Laje et al. also use11C]WAY-100635 by serotonin type 1A receptors differs between healthy subjects, depressed patients, and depressive patients in remission. Their previous work had shown an increase in serotonin type 1A receptor binding in depressed patients G promoter polymorphisms. Similarly, estimates of binding potentials by a reference region method provided no reliable difference between bipolar depressed patients and never-depressed subjects.Sullivan and coworkers studied binding of [11C]WAY-100635 to examine possible sources of discrepancies in previous studies concerning whether regional binding potentials of serotonin type 1A receptors are higher or lower in major depressive disorders than in non-depressed subjects. As noted above , whereas no such differences were noted for [18F]FP-TZTP binding between healthy subjects and subjects with unipolar depressive disorder. Cannon and coworkers interpreted their finding of relatively low [18F]FP-TZTP binding in bipolar disorder in relation to the nucleotide sequence coding for the muscarinic type 2 receptor. In our view, that is a truly bold hypothesis on the basis of a single study.Cholinergic neurotransmission has a widespread distribution in the brain and the parasympathetic nervous system -rolipram for PET to probe the cAMP second messenger system in healthy subjects and depressed patients -rolipram binding was reliably lower throughout the brain of depressed patients than in healthy subjects, with no reliable correlations between radioligand binding and the severity of depressive symptoms.Fujita and coworkers used [18F]DDNP to see whether amyloid plaques and neurofibrillar tangles are also present in the brain of middle-aged and older subjects with mild-to-moderate depressive disorders, with and without mild cognitive impairment. None of the subjects had required antidepressant drug treatment. Depressive symptoms in subjects with mild cognitive impairment were associated with increased binding of [18F]DDNP in lateral temporal regions, whereas symptoms of depression in subjects without mild cognitive impairment were associated with increased binding of [18F]DDNP in medial temporal regions. Thus, amyloid plaques and neurofibrillar tangles were identified by PET in elderly, mildly depressed subjects, regardless of their cognitive condition.Pathological changes in the brain consisting of amyloid plaques and neurofibrillar tangles typically herald cognitive disturbances in Alzheimer disease (Vardy et al., 18F]DDNP for PET to explore possible links between depressive disorders and amyloid plaques and neurofibrillar tangles (Kumar et al., 18F]DDNP in several cortical brain regions was higher in the group with late-life depression than in the age-matched, non-depressed group.Kumar and coworkers also used [11C]verapamil for PET brain imaging in a group of severely depressed subjects receiving various antidepressant drugs and in a group of non-depressed, unmedicated subjects. The binding of [11C]verapamil in the whole brain failed to differ reliably between groups, while regional data analysis indicated that levels of [11C]verapamil were lower in prefrontal cortex and temporal lobes of depressed subjects than in healthy controls. de Klerk and coworkers interpreted their finding in relation to the possible impact of long-term usage of antidepressant drugs and/or treatment-resistant depression on the P-glycoprotein pump.The blood-brain barrier limits the bi-directional passage of molecules, while the removal of certain molecules from the brain is enhanced by the P-glycoprotein efflux pump. Verapamil is a calcium channel blocker that is removed from the brain by the P-glycoprotein pump, and the drug can be radiolabeled with a positron-emitting nuclide and used to study the P-glycoprotein pump (Bartels et al., 18F]DDNP was used in two recent studies that found an association between binding by amyloid plaques and neurofibrillar tangles in temporal lobes of elderly subjects with mild-to-moderate depression. That finding concurs with reports on neuropathology in temporal cortex of depressed subjects (Saylam et al., 18F]FP-TZTP and [18F]FA-85380 between healthy subjects and subjects with depressive disorders. With regard to GABAergic neurotransmission, much evidence implicates disturbances of function in depression as well as other neuropsychiatric disorders (Rudolph and Knoflach, 11C]flumazenil are of interest in that respect (Klumpers et al., The diversity of recent PET studies on non-monoaminergic mechanisms in depressive disorders precludes general statements concerning the findings. [The search continues for PET radioligands that can disclose causal links between the binding properties of central neuromolecular processes and the clinical condition of people suffering from depressive disorders. Our account of PET findings presented in this review is both critical and harsh, based on our serious concern regarding the current lack of clear-cut relationships between neuromolecular processes as measured by PET and changes in the severity of depression. In particular, beneficial effects of potent antidepressant treatments have typically failed to affect neuroreceptor binding of PET radioligands in subjects who were depressed at the start of the study, but who experienced clear-cut reductions in symptom severity. We are aware that lack of effect of beneficial antidepressant treatment on receptor binding in depressed subjects can be said to reflect a so-called \u201ctrait variable,\u201d but we fail to see the value of that notion since it has no impact on treatment strategy. What is more, the notion of a \u201ctrait variable\u201d as a stable, neuromolecular abnormality fails to take into account the possibility that the foreign experience of being constrained in a PET scanner and having a radioactive substance injected into a vein may affect brain function differently in depressed subjects than in healthy volunteers. If that were to occur, then the PET findings would reflect a so-called \u201cstate variable\u201d rather than a \u201ctrait variable.\u201dThe failure of changes in the clinical condition of depressed subjects to be reliably linked with changes in binding of PET radioligands in the living brain adds to the disappointment that currently surrounds the field (Jones and Rabiner, The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Early investigations of cerebellar function focused on motor learning, in particular on eyeblink conditioning and adaptation of the vestibulo-ocular reflex, and led to the general view that cerebellar long-term depression (LTD) at parallel fiber (PF)\u2013Purkinje cell (PC) synapses is the neural correlate of cerebellar motor learning. Thereafter, while the full complexity of cerebellar plasticities was being unraveled, cerebellar involvement in more cognitive tasks\u2014including spatial navigation\u2014was further investigated. However, cerebellar implication in spatial navigation remains a matter of debate because motor deficits frequently associated with cerebellar damage often prevent the dissociation between its role in spatial cognition from its implication in motor function. Here, we review recent findings from behavioral and electrophysiological analyses of cerebellar mutant mouse models, which show that the cerebellum might participate in the construction of hippocampal spatial representation map and thereby in goal-directed navigation. These recent advances in cerebellar research point toward a model in which computation from the cerebellum could be required for spatial representation and would involve the integration of multi-source self-motion information to: (1) transform the reference frame of vestibular signals and (2) distinguish between self- and externally-generated vestibular signals. We eventually present herein anatomical and functional connectivity data supporting a cerebello-hippocampal interaction. Whilst a direct cerebello-hippocampal projection has been suggested, recent investigations rather favor a multi-synaptic pathway involving posterior parietal and retrosplenial cortices, two regions critically involved in spatial navigation. Whilst the cerebellum has long been exclusively associated with motor function, its role in cognitive processes has, in the last decades, progressively become apparent. This review will first focus on the original work leading to the major hypothesis that long-term depression (LTD) at parallel fiber (PF)\u2013Purkinje cell (PC) synapses underlies cerebellar motor learning. We then provide an overview of the arguments suggesting that cerebellar processing is also required in cognitive function such as spatial navigation and that it contributes to both hippocampal spatial map formation and optimal goal-directed navigation. The potential computation undertaken by the cerebellum for building hippocampal spatial representation is also discussed. Finally, the possible anatomical pathways involved in this cerebello-hippocampal association are explored.LTD refers to an activity-dependent long lasting decrease in synaptic efficacy. This anti-hebbian form of synaptic plasticity was initially discovered in and thought to be unique to the cerebellum Contribution of the cerebellum to cognitive functions such as navigation remains a controversial subject. Indeed, whilst an extensive range of cerebellar functions has been pointed out as early as 1950 Snider, .It can however be acknowledged that the view of the cerebellum in cognitive function has evolved with reports describing dysfunction of non-motor processes in patients with cerebellar pathology as well as findings from neuroimaging studies in normal adults which displays a postnatal specific degeneration of virtually all cerebellar PCs and the mossy fiber\u2013granule cells\u2013PF input. Rondi-Reig et al. tested rRecent use of the L7-PKCI transgenic model, in which the PKC dependent LTD that occurs at PF\u2013PC synapses is altered, brought new insight regarding the process performed by the cerebellum \u2014one synapse downstream the PCs\u2014that has been shown to encode motion in body coordinates are selectively active during passively applied movements is a multi-modal cortical area integrating self-motion and visuo-spatial information (Snyder et al., The retrosplenial cortex is also thought to be involved in the allocentric-to-egocentric transformation process (Vann et al., Therefore, the cerebellum may contribute to two major circuits crucial for the representation of space in the hippocampal system Figure : one comRecent converging evidence demonstrates the importance of the cerebellum in spatial navigation. Such implication in the navigation system at the hippocampal level or in forebrain navigation areas has been elucidated using electrophysiological, anatomical, and behavioral analyses in both human and animal models. Although the cerebellar network does not encode a spatial map of the environment, it does participate in map formation in the forebrain navigation areas by specifically encoding and computing self-motion information from different sources required to build the representation of the body in space. PF\u2013PC LTD is implicated in this process, and other as yet to be determined modes of cerebellar plasticity may participate as well. The recent development of tetrodes multi-unit recordings in rat's cerebellum (de Solages et al., The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Brain-computer interfaces (BCIs) are systems that use real-time analysis of neuroimaging data to determine the mental state of their user for purposes such as providing neurofeedback. Here, we investigate the feasibility of a BCI based on speech perception. Multivariate pattern classification methods were applied to single-trial EEG data collected during speech perception by native and non-native speakers. Two principal questions were asked: 1) Can differences in the perceived categories of pairs of phonemes be decoded at the single-trial level? 2) Can these same categorical differences be decoded across participants, within or between native-language groups? Results indicated that classification performance progressively increased with respect to the categorical status of the stimulus contrast, and was also influenced by the native language of individual participants. Classifier performance showed strong relationships with traditional event-related potential measures and behavioral responses. The results of the cross-participant analysis indicated an overall increase in average classifier performance when trained on data from all participants (native and non-native). A second cross-participant classifier trained only on data from native speakers led to an overall improvement in performance for native speakers, but a reduction in performance for non-native speakers. We also found that the native language of a given participant could be decoded on the basis of EEG data with accuracy above 80%. These results indicate that electrophysiological responses underlying speech perception can be decoded at the single-trial level, and that decoding performance systematically reflects graded changes in the responses related to the phonological status of the stimuli. This approach could be used in extensions of the BCI paradigm to support perceptual learning during second language acquisition. Learning foreign languages is difficult, in part because they often make use of sounds which are unfamiliar. Moreover, foreign speech sounds can be difficult to discriminate from one another, depending on the types of phonemes used in one\u2019s native language. Studies of human language perception have made use of EEG measurements to reveal differences in the processing of speech sounds by the brains of native and non-native listeners. The results of these studies are typically based on the analysis of event-related potentials collected over hundreds of trials and using many individual participants. This is done because the signals of interest are much smaller in amplitude than the ongoing brain activity measured during single-trials To this end, a study was conducted using a multivariate analysis of EEG data collected during passive auditory perception of English language phonemes by native and non-native speakers of English. It investigated whether such methods are sensitive to the different electrophysiological response patterns elicited when native and non-native listeners are presented with pairs of stimuli from a continuum of phonemes representing either within- or across-category contrasts. Additionally, the study used the same methods in conjunction with two cross-participant data sets to address questions regarding the consistency of the functional brain organization underlying speech perception across individuals both within and between language groups.Previous research using auditory event-related potentials (ERPs) has revealed consistent differences between native and non-native speakers in the brain responses underlying the perception of phonetic contrasts The MMN has been observed in response to both changes in acoustic features of phonemes typical of within-category variation While MMN responses to artificial tone stimuli are consistently reported in the N1 interval While the neurophysiology of speech perception has been examined extensively using traditional ERP methodologies, there has recently been an increasing interest in the use of multivariate pattern classification methods to address questions regarding the functional organization of cognitive processes using data collected at the single-trial level Several BCI studies have used multivariate methods to detect different classes of auditory ERPs elicited by target and non-target stimuli in an active task. Such tasks are know to elicit a P3 response Multivariate approaches have also been used in several studies to investigate auditory perception of speech and music at the single-trial level. In the music domain, it has been shown that decoding perceived music from EEG data at the single trial level is possible, and that decoding using cross-participant data sets leads to similar overall performance as compared to within-participant analyses Here, we aim to extend these findings by examining whether the perception of phonetic contrasts representing within- or across-category contrasts can be decoded using single-trial EEG data. This is accomplished using a dataset from a recently published study on within- and between-group differences in the perception of a phonetic continuum by native (English) and non-native (native-Dutch) speakers All participants provided written informed consent prior to their participation in the experiment. The experiment was performed in accordance with the guidelines of and was approved by the ethics committee of the Faculty of Social Sciences, Radboud University Nijmegen.The present study was a reanalysis of the data collected in Four consonant-vowel (CV) syllables representing an English language stop consonant continuum were used as stimuli during the EEG measurements. A recording of the CV syllable/pa/spoken by a male native-English speaker with a Voice Onset Time (VOT) of 85 ms was used to create the other three stimuli by removing successive 22 ms portions of the aspirated portion of the original recording prior to voice onset. Thus, the VOTs of these stimuli were 63 ms, 41 ms and 19 ms. The duration of these stimuli were preserved by inserting additional periods of voicing in the voiced portion of the recording. Waveforms of the four stimuli are presented in The purpose of this manipulation was to produce a continuum which sounded progressively more like/ba/to native speakers of English. In the English language, voiced and voiceless stop consonants are primarily distinguished from one another on the basis of VOT, while in the Dutch language the voiced and voiceless stop consonants are primarily distinguished by the presence of pre-voicing During EEG measurements, these stimuli were presented in pseudorandom oddball sequences containing a standard stimulus and one of three deviant stimuli analysis. Typically used for problems in the domain of signal detection theory, ROC analyses are often used to analyze both the performance of classifiers Individual participant\u2019s single-trial EEG data (64 channels\u00d790 samples per epoch) were used to train a set of quadratically regularized linear logistic regression classifiers A series of within-participants analyses were carried out to determine whether differences in the perceived categories of pairs of phonemes influenced single-trial decoding performance. To this end, a separate analysis was performed using data collected in each of the three stimulus conditions: \u201863 ms VOT deviant\u2019, \u201841 ms VOT deviant\u2019 and \u201819 ms VOT deviant\u2019. These names will be used subsequently to refer to each of the within participant analyses. All of the within-participant analyses investigated a binary comparison of single-trial EEG data collected during standard trials and deviant trials in a given measurement condition. A fourth analysis was performed which included all of the data collected across conditions for each individual participant. The results of this analysis were used to compare mean decoding performance for each of the four stimuli with the individual behavioral identification scores collected in In each analysis, an equal number of epochs of data recorded during the presentation of a deviant stimulus and the standard stimulus immediately preceding it represented the two classes in a binary classification problem. On average, 202.5 consecutively recorded trials (St. Dev.\u200a=\u200a42.2) were available for each of these classification analyses. All of the within-participant analyses utilized a ten-fold cross validation procedure, in which subsets of the available data were used for training and testing the classifier in each of the folds.A subsequent analysis of the classifier decisions obtained at the single-trial level was performed in order to determine the performance benefits of using multiple trials. For this, we made use of the classifier decisions obtained for all available data epochs in the test folds of the within-participant analyses conducted for the 19 ms VOT deviant condition. Each decision represents a continuous probability Where, Noting that for Logistic regression Another aim of the present study was to investigate whether the decoding of categorical speech perception is possible across different individuals, both within and between native-language groups. Two additional classifiers were trained on cross-participant datasets collected in the 19 ms VOT deviant condition . This stimulus contrast was chosen because it represented a clear categorical distinction for both native-English and native-Dutch listeners. The first classifier was trained using data from 10 of the 11 native speakers whose within-participant classification results were significantly above chance level (see below for details), and will be referred to with the name \u2018Cross-PP Native\u2019. The second made use of all 22 participants\u2019 data, and will be referred to with the name \u2018Cross-PP All\u2019.Both cross-participant classifiers were trained using a double-nested cross-validation procedure in order to account for the additional inter-subject variability introduced by these datasets. Such a procedure provides a means for selecting an optimal hyperparameter for a given classification problem whilst estimating generalization performance. In each main fold of the data, one participant\u2019s data served as a test set , while the remaining participants\u2019 data formed the classifier training set. An additional set of nested folds repeated this procedure in order to estimate the regularization parameter, with the participant whose data was used for the test set being excluded from the nested analyses.A final series of classification analyses were conducted that aimed to decode the native language (English or Dutch) of a given participant using either EEG or behavioral data. In the previous analyses, the labels assigned to the data used for training and testing the classifiers indicated whether an individual epoch was collected on a standard or deviant trial. Here, the labels indicated whether the data belonged to a native-English or native-Dutch speaker. The classifier performance levels obtained in such an analysis indicate the extent to which the response patterns obtained from the two native-language groups generalize within-group, and how well these response patterns can be distinguished from one another at the group level.Four separate analyses were performed with each of the following data sets: concatenated single-trial data from all three measurement conditions , concatenated grand average data from all three measurement conditions, concatenated grand average data measured from the 63 ms and 41 ms VOT deviant stimuli Is it possible to decode stimulus categories from single-trial EEG data elicited using different speech sound contrasts for native-English and native-Dutch speakers? 2) Is it possible to decode these same stimulus categories across individual participants, either within or between native-langauge groups?The results of the within-participant analyses demonstrate that single-trial EEG measurements of brain responses to phonemes contain sufficient information to decode speech sound categorization, and that the performance of such analyses improved across conditions representing increasingly salient phonetic contrasts. As such, the results confirm that the within-participants trends previously observed in analyses of grand-averaged ERP data are also present at the single-trial level A marginally significant effect of native language was also observed, suggesting an overall difference in decoding performance across the two groups. In general, decoding rates were higher for the native-English speakers as compared with the native-Dutch speakers, with this difference reaching significance for the 63 ms VOT condition. When looking at the AUC scores presented in A modest correlation was observed when investigating the relationship between individual decoding results and individual mean MMN amplitudes measured in the original analysis in A much stronger correlation was found when examining the relationship between the individual behavioral data collected in Within-participant single-trial classification rates were comparable with the average rates reported in It was also shown that this performance could be improved through the inclusion of additional trials. Performance increased on average with each additional trial that was included, reaching above 95% correct for some participants when 7 trials were included in the classifier\u2019s decision. However, the relative benefit in classification performance which was achieved through the use of additional trials was also a function of individual participant\u2019s single-trial classification rates. While individuals with relatively good single-trial classification rates tended to show the most improvement across trials, participants with low single-trial classification rates did not show much benefit when including additional trials, with performance sometimes being even lower than the single-trial rates. This would seem to point to a general lack of discriminative information in the single-trial EEG data for some participants. Previous multivariate pattern classification analyses of EEG-data collected in an auditory paradigm and using multiple-trials have also shown similar results One of the goals of the present analysis was to determine the amount of individual overlap in the functional brain organization underlying the perception of the phonemes used during EEG measurements, both within and across native-language groups. When using a classifier trained on data from 10 of the 11 native-English participants collected in the 19 ms VOT condition (\u2018Cross-PP Native\u2019), a difference in the classifier\u2019s performance was observed for the two language groups. While performance improved for native-English speakers relative to the within-participant analysis (64% vs 72% correct), performance decreased for native-Dutch speakers (61% vs 59%). In contrast, when using a classifier trained using data collected in the same condition from all 22 participants (\u2018Cross-PP All\u2019), a significant overall improvement was observed for all participants relative to the within-participant analysis. Here the performance benefit for native-English speakers was slightly less as compared with the benefit seen when using a classifier trained using only data from native-English speakers. This seems to indicate a discrepancy in the extent to which features present in the single-trial data of native-English speakers are utilized by the two cross-participant classifiers, and that features present in the single-trial data of the native-Dutch speakers do not completely overlap with those of the native-English speakers.Previous work using fMRI to investigate differences in the functional neuroanatomy of language processing between native and non-native speakers suggests that, while both groups rely on the same cortical network, non-native speakers show enhanced activation in some regions relative to native speakers This study also presented the results of a set of cross-participant classification analyses that focused on the native language of participants. Analyses that made use of single-trial ERP data were less successful at determining the native language of a given participant than those which made use of individual behavioral data. However, analyses which made use of individual grand-averaged ERPs showed better native-language classification than the analysis using behavioral data, with the best overall performance obtained when using ERPs measured in response to the 63 ms VOT and 41 ms VOT deviant stimuli. These were the two conditions which showed a significant between-groups difference in MMN response amplitude in the original study The use of multivariate pattern classification methods to identify differences in the characteristic brain responses generated by individual members of groups with differing perceptual profiles could have potential applications in both education and clinical settings. A new class of BCIs has recently been described, called passive BCIs, which combine cognitive monitoring with the real-time decoding methods typical of BCIs The present results also suggest that BCIs which directly support language learning through neurofeedback have potential. Neurofeedback provides real-time information about brain activity as measured using EEG or fMRI, providing users with a mechanism to modulate activity related to specific brain structures or cognitive states This type of induced perceptual learning may also be possible using decoded-EEG neurofeedback based on the evoked responses underlying speech perception. Such a system would, in principle, provide users with real-time information regarding their brain\u2019s ongoing responses to unfamiliar foreign speech sound contrasts, as reflected in the MMN and other components of the auditory evoked response. Research on the time course of language learning and associated changes in brain responses has shown that the MMN response develops prior to changes in behavioral responses associated with the successful discrimination of foreign phoneme contrasts The present study has shown that both within- and cross-participant decoding of evoked responses measured during speech perception is possible, with the results being a function of both the relative size of the contrasts employed as well as the phonological status of the contrast for a given listener. Moreover, the results indicate that, while the functional brain organization underlying speech perception may involve the same fundamental networks in native and non-native speakers, differences in the relative distribution of activation patterns influence the outcomes of the multivariate analyses for native and non-native speakers. On the basis of these results, we suggest that these methods can be used for developing novel BCI applications related to second language learning."}
+{"text": "In the primary visual cortex of primates and carnivores, functional architecture can be characterized by maps of various stimulus features such as orientation preference (OP), ocular dominance (OD), and spatial frequency. It is a long-standing question in theoretical neuroscience whether the observed maps should be interpreted as optima of a specific energy functional that summarizes the design principles of cortical functional architecture. A rigorous evaluation of this optimization hypothesis is particularly demanded by recent evidence that the functional architecture of orientation columns precisely follows species invariant quantitative laws. Because it would be desirable to infer the form of such an optimization principle from the biological data, the optimization approach to explain cortical functional architecture raises the following questions: i) What are the genuine ground states of candidate energy functionals and how can they be calculated with precision and rigor? ii) How do differences in candidate optimization principles impact on the predicted map structure and conversely what can be learned about a hypothetical underlying optimization principle from observations on map structure? iii) Is there a way to analyze the coordinated organization of cortical maps predicted by optimization principles in general? To answer these questions we developed a general dynamical systems approach to the combined optimization of visual cortical maps of OP and another scalar feature such as OD or spatial frequency preference. From basic symmetry assumptions we obtain a comprehensive phenomenological classification of possible inter-map coupling energies and examine representative examples. We show that each individual coupling energy leads to a different class of OP solutions with different correlations among the maps such that inferences about the optimization principle from map layout appear viable. We systematically assess whether quantitative laws resembling experimental observations can result from the coordinated optimization of orientation columns with other feature maps. Neurons in the visual cortex form spatial representations or maps of several stimulus features. How are different spatial representations of visual information coordinated in the brain? In this paper, we study the hypothesis that the coordinated organization of several visual cortical maps can be explained by joint optimization. Previous attempts to explain the spatial layout of functional maps in the visual cortex proposed specific optimization principles ad hoc. Here, we systematically analyze how optimization principles in a general class of models impact on the spatial layout of visual cortical maps. For each considered optimization principle we identify the corresponding optima and analyze their spatial layout. This directly demonstrates that by studying map layout and geometric inter-map correlations one can substantially constrain the underlying optimization principle. In particular, we study whether such optimization principles can lead to spatially complex patterns and to geometric correlations among cortical maps as observed in imaging experiments. Neurons in the primary visual cortex are selective to a multidimensional set of visual stimulus features, including visual field position, contour orientation, ocular dominance, direction of motion, and spatial frequency Visual cortical maps are often spatially complex patterns that contain defect structures such as point singularities (pinwheels) Minima of a given energy functional can be found by gradient descent which is naturally represented by a dynamical system describing a formal time evolution of the maps. Response properties in visual cortical maps are arranged in repetitive modules of a typical spatial length called hypercolumn. Optimization models that reproduce this typical length scale are therefore effectively pattern forming systems with a so-called \u2018cellular\u2019 or finite wavelength instability, see A recent study found strong evidence for a common design in the functional architecture of orientation columns The presentation of our results is organized as follows. First we introduce a formalism to model the coordinated optimization of complex and real valued scalar fields. Complex valued fields can represent for instance orientation preference (OP) or direction preference maps Second we apply the derived formalism by calculating optima of two representative low order examples of coordinated optimization models and examine how they impact on the resulting map layout. Two higher order optimization models are analyzed in We model the response properties of neuronal populations in the visual cortex by two-dimensional scalar order parameter fields which are either complex valued or real valued pinwheels, regions in which columns preferring all possible orientations are organized around a common center in a radial fashion. The centers of pinwheels are point discontinuities of the field OP maps are characterized by so-called OD maps can be described by a real valued two-dimensional field In this article, we view visual cortical maps as optima of some energy functional critical circleAll visual cortical maps are arranged in repetitive patterns of a typical wavelength The coupled dynamics we considered is of the formHow many inter-map coupling energies These higher order terms contain combinations of terms in Numerical simulations of the dynamics We studied At second order in tion see , we get OP rhombic solutions compared to the stripe solutions. Finally, inter-map coupling can lead to the stabilization of new PWC solutions.For the low order interaction terms the amplitude equations are given by We first studied the impact of the low order product-type coupling energy. Here, the constant In the case of OD stripes, see In addition to the OP stripe patterns there exist rhombic OP solutions, see In the case the OD map is a constant, The stability of the orientation scotoma solutions. The phase relations ensure that OD borders that run parallel to the OP stripes are located at the OP maxima and minima i.e. in the center of the orientation scotoma stripes. With increasing inter-map coupling, this orientation scotoma pattern is suppressed until finally all amplitudes are zero and only the homogeneous solution is stable. In case of OP rhombs inter-map coupling makes the rhombic pattern more stripe-like by reducing the amplitude For increasing inter-map coupling strength the amplitudes of the OP solutions are shown in The parameter dependence of OP solutions when interacting with OD hexagons is shown in To summarize, stripe solutions were deformed but no pinwheels were created for this solution. The rhombic solutions were energetically not preferred for low inter-map coupling whereas for intermediate inter-map coupling these solutions lose pinwheels and became stripe solutions. Instead, additional pinwheel rich solutions with a crystal layout became stable for intermediate inter-map coupling. For large inter-map coupling orientation selectivity was completely suppressed.The phase diagram as a function of the OD bias Ipsi-center pinwheel crystal. The iso-orientation lines intersect the OD borders (gray) exactly with a right angle. The intersection angles are, within the stability range of OD hexagons, independent of the bias The uniform solution To summarize, the low order product-type inter-map coupling leads in case of OD hexagons to a transition from pinwheel free stripe solutions towards pinwheel crystals. The design of the PWC is an example of an orientation hypercolumn dominated by one pinwheel. With increasing inter-map coupling the PWC solution is suppressed until only the homogeneous solution is stable. In case of OD stripes or the constant solution the OP solutions are pinwheel free stripe pattern.When using a gradient-type inter-map coupling energy the interaction terms are independent of the OD shift A coupling to OD stripes is easy to analyze in the case of a gradient-type inter-map coupling. The energetically preferred solutions are OP stripes with the direction perpendicular to the OD stripes for which In the case the OD map is a constant, In the case of OD hexagons the amplitude equations readThe course of the stationary amplitudes when interacting with OD hexagons is shown in The phase diagram of this coupling energy is shown in Braitenberg pinwheel crystal.The uniform solution The iso-orientation lines are again perfectly perpendicular to OD borders and this is independent of the bias Overall this OP map is dominated by uniform regions around hyperbolic points. In contrast to the ipsi center PWC all pinwheels in this OP map organize a roughly similar fraction of the cortical surface.In this study we presented a symmetry-based analysis of models formalizing that visual cortical architecture is shaped by the coordinated optimization of different functional maps. In particular, we focused on the question of whether and how different optimization principles specifically impact on the spatial layout of functional columns in the primary visual cortex. We identified different representative candidate optimization principles. We developed a dynamical systems approach for analyzing the simultaneous optimization of interacting maps and examined how their layout is influenced by coordinated optimization. In particular, we found that inter-map coupling can stabilize pinwheel-rich layouts even if pinwheels are intrinsically unstable in the weak coupling limit. We calculated and analyzed the stability properties of solutions forming spatially regular layouts with pinwheels arranged in a crystalline array. We analyzed the structure of these pinwheel crystals in terms of their stability properties, spatial layout, and geometric inter-map relationships. For all models, we calculated phase diagrams showing the stability of the pinwheel crystals depending on the OD bias and the inter-map coupling strength. Although differing in detail and exhibiting distinct pinwheel crystal phases for strong coupling, the phase diagrams exhibited many commonalities in their structure. These include the general fact that the hexagonal PWC phase is preceded by a phase of rhombic PWCs and that the range of OD biases over which pinwheel crystallization occurs is confined to the stability region of OD patch solutions.Our analytical calculations of attractor and ground states close a fundamental gap in the theory of visual cortical architecture and its development. They rigorously establish that models of interacting OP and OD maps in principle offer a solution to the problem of pinwheel stability Independent of its predictions, our study clarifies the general mathematical structure of interaction dominated optimization models. To the best of our knowledge our study for the first time describes an analytical approach for examining the solutions of coordinated optimization models for OP and OD maps. Our symmetry-based phenomenological analysis of conceivable coupling terms provides a general classification and parametrization of biologically plausible coupling terms. To achieve this we mapped the optimization problem to a dynamical systems problem which allows for a perturbation expansion of fixed points, local minima, and optima. Using weakly nonlinear analysis, we derived amplitude equations as an approximate description near the symmetry breaking transition. We identified a limit in which inter-map coupling becomes effectively unidirectional enabling the use of the uncoupled OD patterns. We studied fixed points and calculated their stability properties for different types of inter-map coupling energies. This analysis revealed a fundamental difference between high and low order coupling energies. For the low order versions of these energies, a strong inter-map coupling typically leads to OP map suppression, causing the orientation selectivity of all neurons to vanish. In contrast, the higher order variants of the coupling energies do generally not cause map suppression but only influence pattern selection, see Our results indicate that a patchy layout of a second visual map interacting with the OP map is important for the effectiveness of pinwheel stabilization by inter-map coupling. Such a patchy layout can be easily induced by an asymmetry in the representation of the corresponding stimulus feature such as eye dominance or spatial frequency preference. In spatial frequency maps, for instance, low spatial frequency patches tend to form islands in a sea of high spatial frequency preference Several lines of biological evidence appear to support the picture of interaction induced pinwheel stabilization. Supporting the notion that pinwheels might be stabilized by the interaction with patchy OD columns, visual cortex is indeed dominated by one eye in early postnatal development and has a pronounced patchy layout of OD domains One important general observation from our results is that map organization was often not inferable by simple qualitative considerations on the energy functional. The organization of interaction induced hexagonal pinwheel crystals reveals that the relation between coupling energy and resulting map structure is quite complex and often counter intuitive. We analyzed the stationary patterns with respect to intersection angles and pinwheel positions. In all models, intersection angles of iso-orientation lines and OD borders have a tendency towards perpendicular angles whether the energy term mathematically depends on this angle, as for the gradient-type energies, or not, as for the product-type energies. Intersection angle statistics thus are not a very sensitive indicator of the type of interaction optimized. Mathematically, these phenomena result from the complex interplay between the single map energies and the interaction energies. In case of the low order gradient-type inter-map coupling energy all pinwheels are located at OD extrema, as expected from the used coupling energy. For other analyzed coupling energies, however, the remaining pinwheels are located either at OD saddle-points (low order product-type energy) or near OD borders (higher order gradient-type energy), in contrast to the expection that OD extrema should be energetically preferred. Remarkably, such correlations, which are expected from the gradient-type coupling energies, occur also in the case of the product-type energies. Remarkably, in case of product type energies pinwheels are located at OD saddle-points. which is not expected per se and presumably result from the periodic layout of OP and OD maps. Correlations between pinwheels and OD saddle-points have not yet been studied quantitatively in experiments and may thus provide valuable information on the principles shaping cortical functional architecture.Our results demonstrate that, although distinct types of coupling energies can leave distinguishing signatures in the structure of maps shaped by interaction (as the OP map in our example), drawing precise conclusions about the coordinated optimization principle from observed map structures is not possible for the analyzed models. In the past numerous studies have attempted to identify signatures of coordinated optimization in the layout of visual cortical maps and to infer the validity of specific optimization models from aspects of their coordinated geometry We examined the impact of different interaction energies on the structure of local minima and ground states of models for the coordinated optimization of a complex and a real scalar feature map such as OP and OD maps. The models were constructed such that in the absence of interactions, the maps reorganized into simple stripe or blob pattern. In particular, the complex scalar map without interactions would form a periodic stripe pattern without any phase singularity. In all models, increasing the strength of interactions could eventually stabilize qualitatively different, more complex, and biologically more realistic patterns containing pinwheels that can become the energetic ground states for strong enough inter-map interactions. The way in which this happens provides fundamental insights into the relationships between map structure and energy functionals in optimization models for visual cortical functional architecture.Our results demonstrate that the structure of maps shaped by inter-map interactions is in principle informative about the type of coupling energy. The organization of the complex scalar map that optimizes the joined energy functional was in general different for all different types of coupling terms examined. We identified a class of hPWC solutions which become stable for large inter-map coupling. This class depends on a single parameter which is specific to the used inter-map coupling energy. Furthermore, as shown in In the case of the product-type coupling energies, the resulting phase diagrams are relatively complex as stationary solutions and stability borders depend on the magnitude of the OD bias. Here, even quantitative values of model parameters can in principle be constrained by analysis of the map layout. In contrast, for the gradient-type coupling energies, the bias dependence can be absorbed into the coupling strength and only selects the stationary OD pattern. This leads to relatively simple phase diagrams. For these models map layout is thus uninformative of quantitative model parameters. We identified several biologically very implausible OP patterns. In the case of the product-type energies, we found orientation scotoma solutions which are selective to only two preferred orientations. In the case of the low order gradient-type energy, we found OP patterns containing pinwheels with a topological charge of 1 which have not yet been observed in experiments. If the relevant terms in the coupling energy could be determined by other means, the parameter regions in which these patterns occur could be used to constrain model parameters by theoretical bounds.The information provided by map structure overall appears qualitative rather than quantitative. In both low order inter-map coupling energies lines: stable (unstable) solutions. A,B OD stripes, C,D OD hexagons, A,C Transition from OP stripe solutions, B,D Transition from OP rhombic solutions. E Potential, F Potential, (TIF)Click here for additional data file.Figure S2A Phase diagram with coupling energy , . Vertical black lines: stability range of OD stripes, hexagons, and constant solutions. Magenta (orange) line: Stability border of orientation scotoma stripes. Green solid line: Stability border of rhombic solutions. Red solid line: Stability border of PWC solutions, red dashed line: B Course of C Stability border between A).(TIF)Click here for additional data file.Figure S3Bias dependent pinwheel crystals, ABCD. OP map, superimposed are the OD borders (gray), 90% ipsilateral eye dominance (black), and 90% contralateral eye dominance (white), E,F Distribution of orientation preference. G Intersection angles between iso-orientation lines and OD borders.(TIF)Click here for additional data file.Figure S4Stationary amplitudes with coupling energyA Solid (dashed) lines: Stable (unstable) solutions. Blue: rPWC, green: distorted rPWC, red: hPWC. Black lines: stripe-like solutions. B Potential, (TIF)Click here for additional data file.Figure S5Phase diagram with coupling energy. Vertical lines: stability range of OD hexagons, green line: transition from rPWC to distorted rPWC, red line: stability border of hPWC, blue line: stability border of distorted rPWC. Above orange line: hPWC corresponds to ground state of energy.(TIF)Click here for additional data file.Figure S6Rhombic pinwheel crystals.A OP map with superimposed OD borders (gray), 90% ipsilateral eye dominance (black), and 90% contralateral eye dominance (white), B Selectivity (TIF)Click here for additional data file.Figure S7Contra-center pinwheel crystals.A,B OP map, superimposed are the OD borders (gray), 90% ipsilateral eye dominance (black), and 90% contralateral eye dominance (white), ABC Distribution of orientation preference. D OP map with superimposed OD map for three different values (E Selectivity F Distribution of intersection angles.(TIF)Click here for additional data file.Figure S8Inter-map coupling strength dependent pinwheel positions. OD map, superimposed pinwheel positions (points) for different inter-map coupling strengths, ABD Positions of rPWCs move continuously .(TIF)Click here for additional data file.Text S1Derivation of higher order amplitude equations and the analysis of optima for the higher order gradient-type and product-type inter-map coupling energies.(PDF)Click here for additional data file.Text S2Amplitude equations for the OP dynamics in case of the high order inter-map coupling energies and .(PDF)Click here for additional data file.Text S3Stability matrices for the low order inter-map coupling energies.(PDF)Click here for additional data file."}
+{"text": "Newer antidepressants are needed for the many individuals with major depressive disorder (MDD) that do not respond adequately to treatment and because of a delay of weeks before the emergence of therapeutic effects. Recent evidence from clinical trials shows that the NMDA antagonist ketamine is a revolutionary novel antidepressant because it acts rapidly and is effective for treatment-resistant patients. A single infusion of ketamine alleviates depressive symptoms in treatment-resistant depressed patients within hours and these effects may be sustained for up to 2 weeks. Although the discovery of ketamine's effects has reshaped drug discovery for antidepressants, the psychotomimetic properties of this compound limit the use of this therapy to the most severely ill patients. In order to develop additional antidepressants like ketamine, adequate preclinical behavioral screening paradigms for fast-acting antidepressants need to be established and used to identify the underlying neural mechanisms. This review examines the preclinical literature attempting to model the antidepressant-like effects of ketamine. Acute administration of ketamine has produced effects in behavioral screens for antidepressants like the forced swim test, novelty suppression of feeding and in rodent models for depression. Protracted behavioral effects of ketamine have been reported to appear after a single treatment that last for days. This temporal pattern is similar to its clinical effects and may serve as a new animal paradigm for rapid antidepressant effects in humans. In addition, protracted changes in molecules mediating synaptic plasticity have been implicated in mediating the antidepressant-like behavioral effects of ketamine. Current preclinical studies are examining compounds with more specific pharmacological effects at glutamate receptors and synapses in order to develop additional rapidly acting antidepressants without the hallucinogenic side effects or abuse potential of ketamine. Major depressive disorder (MDD) is a serious public health problem and one of the most common psychiatric disorders, with a lifetime prevalence of 17% in the United States administered intravenously over a 40 min period tests, the latency to feed is increased and the amount of food consumption is reduced in a novel environment. These tests, based on a similar principle, differ in methodology; NSF requires acute food deprivation 24 h prior to testing whereas the NIH utilizes an 8\u201310-day training period without deprivation. These tests have considerable face validity, although interpretation of results with the NSF may be limited by the use of food deprivation. Hyponeophagia is one of the few anxiety-related tests that are reliably attenuated following chronic, but not acute, administration of antidepressant drugs reversed the decrease in sucrose consumption in rats exposed to chronic stress. Although it should be noted that this dosing regimen with ketamine also increased sweet food consumption in both stressed and non-stressed rats , rats displayed hyperactivity in spontaneous activity and long-term depression (LTD). These processes involve significant alterations in pre and post-synaptic scaffolding proteins and glutamate receptors, primarily the glutamatergic receptor, \u03b1-amino-3-hydroxy-5-methyl-4-isoxazole propionic acid (AMPA). The AMPA receptor containing the subunits GluR1, GluR4, and GluR2 are involved in LTP, whereas GluR2, GluR3, and GluR4 are required for the AMPA receptor internalization needed to facilitate LTD at concentrations of 2\u201350 \u03bcm. The subsequent suppression of tonic glutamate input to GABAergic interneurons, results in disinhibition of glutamate signaling. This disinhibition and increase in glutamate neurotransmission is mediated by a decrease in GABAergic inhibitory feedback of the pyramidal neurons in layer V of the PFC, a region widely implicated in the development of psychiatric disorders quinoxaline-2, 3-dione (NBQX), reversing the antidepressant effects of ketamine in the LH paradigm all increase mTORC1 levels in the BDNF gene has been proposed as a potential impediment to the antidepressant response to ketamine in TRD patients. Val/Val carriers are more sensitive to the antidepressant-effects of ketamine compared to the Val/Met carriers are capable of mediating protracted antidepressant like effects in the FST lasting up to 6 days following the infusion is universally used in ketamine preparations both for clinical and preclinical use. Although present in low concentrations, BCl can act synergistically with ketamine to inhibit muscarinic and \u03b17-nicotinic acetylcholine receptors (Durieux and Nietgen, The mechanisms underlying ketamine's effects, the simultaneous blockade of NMDA receptors and activation of AMPA receptors, are integral for the induction of the antidepressant response. The long-term consequences of these molecular alterations are likely to mediate ketamine's protracted antidepressant-like effects mediated via increased synaptic plasticity, neuronal survival and maturation. These changes occur within hours of ketamine administration and occur in parallel with both the rapid and protracted behavioral effects in animal models of depression. The rapid modulation of mTOR, its downstream mediators, such as Akt and ERK, and BDNF represent markers of the molecular correlates of the antidepressant effects of ketamine and its ability to modify synaptic plasticity. Novel therapeutics for TRD are likely to modulate these markers in a similar temporal pattern to that of ketamine and can be used to identify better pharmaceutical agents to treat TRD.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "The central actions of the hormone leptin in regulating energy homeostasis via the hypothalamus are well documented. However, evidence is growing that this hormone can also modify the structure and function of synapses throughout the CNS. The hippocampus is a region of the forebrain that plays a crucial role in associative learning and memory and is an area also highly vulnerable to neurodegenerative processes. Recent studies indicate that leptin is a potential cognitive enhancer as it modulates the cellular processes underlying hippocampal-dependent learning and memory including dendritic morphology, glutamate receptor trafficking and activity-dependent synaptic plasticity. Here, we review the recent evidence implicating the hormone leptin as a key regulator of hippocampal synaptic function and discuss the role of leptin receptor-driven lipid signaling pathways involved in this process. The endocrine hormone, leptin is a 167 amino acid protein that is mainly produced by adipocytes and circulates in the plasma at levels closely correlated with body fat content and alternative splicing of this gene generates six leptin receptor isoforms (ObRa-f) with identical N-terminal domains but vary in the length of their C-terminal region. All the isoforms, except ObRe, have a membrane spanning region consisting of 34 amino acids. ObRe is thought to buffer free circulating leptin levels in the plasma. The membrane spanning ObRs all contain an intracellular proline-rich box which enables association with janus tyrosine kinases, in particular JAK2. However, only the long leptin receptor isoform (ObRb) contains additional intracellular signaling motifs necessary for full JAK-STAT signaling. Following leptin binding to ObRb and JAK2 activation, JAK2 associates with and promotes phosphorylation of tyrosine residues within the C-terminal domain. The phosphorylated tyrosine residues enable recruitment and activation of various downstream signaling pathways including the STAT family of transcription factors, phosphoinositide 3-kinase as well as adaptor proteins associated with the Ras-Raf-MAPK (mitogen activated protein kinase) pathway. Leptin is capable of activating all of these ObR-driven signaling in central neurons and long-term depression (LTD) are key cellular events underlying learning, memory and habituation in LFS-induced depotentiation rats results in a transient and readily reversible depression of excitatory synaptic transmission P3, is not only an integral part of neuronal leptin receptor-driven signaling but it is also critical for trafficking AMPA receptors to hippocampal synapses during LTP P3 levels were blocked by selective PI 3-kinase inhibitors. However, PtdInsP3 levels are also controlled by PTEN, a phosphatase that promotes conversion of PtdInsP3 to PtdInsP2, and thus antagonizes PI 3-kinase activity. In support of a role for PTEN, the leptin-driven increase in GluA1 surface expression is combined with an elevation in P366-PTEN staining in hippocampal cultures. Moreover, application of leptin to hippocampal slices resulted in a robust increase in the phosphorylation of PTEN P3 levels, it is likely that alterations in the levels of this inositol lipid are crucial for modifying AMPA receptor trafficking processes. Recent evidence supports this possibility as the availability of PtdInsP3 is reported to maintain AMPA receptor clustering and synaptic function at hippocampal synapses P3 influences AMPA receptor trafficking by either altering actin cytoskeletal dynamics in neurons or pharmacological inhibition of PTEN with the phosphatase inhibitor bisperoxovanadium (Bpv) mirror and occlude the effects of leptin on GluA1 trafficking and hippocampal synaptic function channels by leptin mice have identified significant alterations in the density of both excitatory and inhibitory synapses compared to wild type mice channels but channel activation by both hormones involves a PI 3-kinase-dependent process channels by leptin and insulin . Moreover, as evidence is growing that IL-6 is a potent regulator of hippocampal synaptic function (Tancredi et al., It is well established that the endocrine hormone leptin regulates many central processes including energy homeostasis. However, evidence is growing that the structure and function of hippocampal CA1 synapses is also markedly influenced by leptin. Recent studies indicate that leptin has cognitive enhancing properties as it rapidly alters glutamate receptor trafficking, dendritic morphology and different forms of activity-dependent hippocampal synaptic plasticity. Regulation of NMDA receptor activity by leptin appears to be key for its ability to influence multiple aspects of hippocampal synaptic function, although it is not entirely clear how leptin-driven activation of NMDARs leads to such opposing effects on hippocampal synaptic function. However, emerging studies indicate not only that distinct NMDA receptor subunits are pivotal for leptin's effects on excitatory synaptic transmission, but also that distinct signaling pathways couple leptin receptors to molecularly distinct NMDA receptors at different developmental stages. Although it is established that leptin plays a pivotal role in normal brain function, disruption of the leptin system is also linked to neurodegenerative disorders, like Alzheimer's disease. Thus, the ability of leptin to regulate neuronal morphology and synaptic efficacy is likely to have important implications not only in health but also in diseases associated with leptin dysfunction.The author declares that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "This is achieved by injecting tumor cell aggregates derived from fresh ovarian tumor biopsy tissues i.p. into NSG mice. Tumor progression in these mice closely parallels many of the events that are observed in ovarian cancer patients. Tumors establish in the omentum, ovaries, liver, spleen, uterus, and pancreas. Tumor growth is initially very slow and progressive within the peritoneal cavity with an ultimate development of tumor ascites, spontaneous metastasis to the lung, increasing serum and ascites levels of CA125, and the retention of tumor-associated human fibroblasts and lymphocytes that remain functional and responsive to cytokines for prolonged periods. With this model one will be able to determine how fibroblasts and lymphocytes within the tumor microenvironment may contribute to tumor growth and metastasis, and will make it possible to evaluate the efficacy of therapies that are designed to target these cells in the tumor stroma.Ovarian cancer is the most common cause of death from gynecological cancer. Understanding the biology of this disease, particularly how tumor-associated lymphocytes and fibroblasts contribute to the progression and metastasis of the tumor, has been impeded by the lack of a suitable tumor xenograft model. We report a simple and reproducible system in which the tumor and tumor stroma are successfully engrafted into NOD-scid IL2R\u03b3 The first successful engraftment of human cells into these C.B-17 scid mice was reported over 20 years ago scid mice lacked functional B and T cells, these mice had an intact innate immune response that was responsible for the complex cellular and molecular HVG response. The intensity of this HVG response varied considerably from mouse to mouse and with the histological type of tumor used for engraftment scidIL-2rgtm1WjlPrkdc, abbreviated NSG. Immunodeficient mice lacking the IL-2 receptor \u03b3 chain have been found to support the prolonged engraftment of human hematopoietic cells and peripheral blood mononuclear cells Both normal and neoplastic human tissues have been successfully engrafted into T cell and B cell-deficient in vivo would provide an opportunity to determine how human immunocompetent cells and tumor cells influence each other. The findings could potentially be used to evaluate immunotherapeutic approaches to cancer. Further, in view of the increasing awareness that nonmalignant stromal cells including fibroblasts, epithelial cells and other leukocytes interact with and have an impact upon tumor growth and metastases A xenograft model in which human tumors and autologous tumor-associated T and B cells could be co-engrafted and their interactions studied in situ tumor progression. Moreover, the model provides the potential to evaluate the efficacy of single, as well as combination, therapeutic approaches to ovarian cancer.A tumor xenograft model has been developed and is reported here in which human epithelial ovarian tumor xenografts are established orthotopically, and the pattern of tumor growth and metastasis reflects that which is observed in ovarian cancer patients. Tumor-associated T and B lymphocytes and fibroblasts co-engraft within tumor nodules and the T cells remain functional and responsive to exogenously administered cytokine. CA125 is present in the sera and ascites of CA125+ tumor-bearing mice and provides an opportunity to monitor the presence and progress of tumor xenografts periodically. It is expected that this model will make it possible to study the ability of human tumor-associated leukocytes and tumor stroma to modulate It was established previously that the subcutaneous implantation of solid pieces of fresh human tumor tissues into NSG mice resulted in the establishment of tumor microenvironments We report here a method of engraftment, in which ovarian tumors can be successfully established as xenografts orthotopically in the ovary and other organ sites of recipient mice. The tumor growth reflects the pattern and progression observed in ovarian cancer patients. This has been accomplished by injecting a suspension of cell aggregates (that is derived from a mild disruption of solid ovarian tumors) i.p. into NSG mice see section.Nodules detected grossly within the peritoneal cavity of mice injected with tumor-derived cell aggregates were confirmed histologically to be tumors . The tumThe frequency of tumors observed histologically in different organ sites varied from tumor to tumor and from mouse to mouse for each tumor-derived cell aggregate implanted. In a typical example of the organ distribution in 15 mice, 116 days after the i.p. injection of cell aggregates derived from solid ovarian tumors were present in juxtaposition with tumor cells (see arrowhead) . ImmunohA trichrome stain of the tumor nodules showed that in addition to the inflammatory cells, fibroblasts were present within the microenvironment of the tumor xenografts (see arrow) . The fibWe conclude that the histological architecture and cellular composition including the tumor cells, inflammatory leukocytes and fibroblasts of the original tumor tissue are maintained for prolonged periods (up to 177 days post-engraftment) in the tumor xenograft, and that tumor cells continue to proliferate within the tumor nodules present in the peritoneal cavity.Ovarian cancer patients typically develop a tumor ascites in the later stages of their disease CA125 is a high molecular weight glycoprotein that is elevated in the serum of approximately 90% of patients with advanced epithelial ovarian cancer The intra-abdominal spreading that we observed following the i.p. inoculation of ovarian tumor-derived cell aggregates into NSG mice, and the generation of tumor ascites fluid are consistent with what is seen in Stage IIIc ovarian cancer patients Stage IV disease patients present with evidence of extra-abdominal spreading of the tumor and this may involve the pleural space with metastasis into the lung parenchyma Our collective findings indicate that the slow and progressive pattern of tumor growth and metastasis of ovarian tumors in NSG mice following the i.p. inoculation of fresh human ovarian tumor-derived cell aggregates closely reflects that seen in patients who develop into Stages IIIc and IV of disease which accounts for over 70% of the ovarian cancer patients seen in the clinic in vivo were investigated.Lymphocytes including effector memory CD4+ T cells We have previously established that T cells in the tumor microenvironment have an attenuated TCR driven activation signal, but remain viable and respond to stimulation with IL-12 by producing IFN-\u03b3 The viability and function of B cells and plasma cells in the tumor bearing mice were addressed by assaying the sera for the presence of human Ig. We consistently observed high levels of human Ig in the sera of tumor bearing mice . In one in situ.The presence of both functional tumor-associated T and B cells in the tumor xenograft bearing mice for >100 days provides an opportunity to investigate the possible role that these lymphocytes play in the survival and metastasis of the tumor, and to determine whether it is possible to manipulate these lymphocytes so that they mount an effective anti-tumor response Since the first report on the successful engraftment of human cells in C.B-17-scid mice We report here a humanized model that more closely parallels the patterns of tumor progression that are observed in ovarian cancer patients than does any other previously described model. Our model captures several important features of human ovarian cancer not seen in previous models. The intra-abdominal spreading along with the development of ascites is strikingly similar to what is observed in patients. The co-engraftment of tumor-associated fibroblasts and T and B lymphocytes that remain viable and functional for prolonged periods provides an opportunity to investigate the possible contribution of these non-malignant cells, and the biologically active factors they produce, to the growth and spread of the tumor cells.in vivo the interaction between lymphocytes and the tumor, lymphocytes and tumor-associated fibroblasts and fibroblasts and the tumor. It has previously been established that tumor stroma is critical for preventing or permitting the immunological destruction of cancer cells et al. showed that fibroblasts derived from human invasive breast carcinomas significantly enhanced tumor growth in xenograft models The orthotopic engraftment and dissemination of the tumor and co-engraftment of tumor-associated immunocompetent cells with tumor stroma in this new humanized mouse model make it possible to study Ovarian cancer is most often asymptomatic in its early stages as most patients have widespread disease at the time of diagnosis in vivo therapeutic effects in our humanized mouse model.Thus, while CA125 levels are a reliable indicator of the presence and expansion of ovarian tumors in patients and in our humanized mouse model, it is not suitable for early tumor detection in either patients or in mice inoculated with the tumor-derived cell aggregates. However, serum levels of CA125 are currently used effectively to monitor ovarian cancer patients' response to chemotherapy and surgery The enhanced ability of small aggregates of tumor and non-malignant tumor cells to establish, grow and spread within the peritoneal cavity (compared to solid non-disrupted pieces of tumor tissue) may depend upon the ability of small cell clusters to survive initially until a sufficient vascular supply is established to permit tumor expansion. The success of the engraftment of tumor-derived cell aggregates may also depend in part upon the contribution of biologically active factors produced by the non-malignant cells in the cell aggregates that produce tumor growth factors and stimulants to angiogenesis. Tumor masses most often occur first in the cranial areas of the peritoneal cavity near and within the omentum. The position of the tumor nodules as well as the enhanced growth of the cell aggregates and slow progression of the tumors to other organs may result from the initial attachment of the tumor cell aggregates to highly vascularized areas within the omentum called milky spots. These discrete areas were first recognized by Ranvier in situ strategy of cancer vaccination has already been demonstrated to be efficacious in several mouse tumor models The results presented here suggest that our humanized NSG mouse ovarian transplant model has the potential to serve as a useful preclinical tool with which to test the efficacy of chemotherapeutic strategies, immunotherapeutic strategies or combinations of both. One of the attractions of this model is that it makes it possible to test strategies that target tumor-associated T cells and thereby initiate an anti-tumor response. One possible use of the model would be to test the ability of a cytokine such as IL-12 to initiate systemic anti-tumor responses. While the single treatment of tumor bearing mice 21 days post tumor inoculation did not result in a significant inhibition of tumor progression, future studies will assess the effect of multiple treatments with IL-12 or IL-12 in combination with other cytokines and chemotherapy. This type of an The humanized mouse model described here has focused solely upon the engraftment of epithelial ovarian cancer tissues. Whether or not this approach could be used effectively to engraft and study other tumors that originate in the peritoneal cavity is currently being investigated. Other orthotopic xenograft models of intraperitoneal tumors have been reported A key factor in the success of the engraftment and long-term survival of human tumor xenografts has been the use of the NSG mice Tumor tissues were obtained with an IRB-approved protocol covered under Human Subject Assurance Number 00008824 assigned through the UB Health Sciences Institutional Review Board accredited by the Association for the Accreditation of Human Research Protection Programs. All animal work was conducted with an Institutional Animal Care and Use Committee (IACUC) approval covered under Animal Welfare Assurance Number A3354-01 accredited through the Association for Assessment and Accreditation of Laboratory Animal Care.The Roswell Park Cancer Institute Tissue Procurement Facility provided the human primary and metastatic ovarian solid tumor tissue and ovarian ascites fluid. All samples were provided under sterile conditions using Institute Review Board approved protocols.Tumor tissue was mechanically disrupted using a Teflon policeman to generate clusters or aggregates of cells that passed through a size 50 stainless steel wire mesh. The resulting tumor-derived cell aggregates were washed once in RPMI 1640 and resuspended in PBS, pH 7.2. Aggregates of cells in size from approximately 200\u2013300 \u00b5m in diameter and included tumor cells, fibroblasts, endothelial cells and lymphocytes.et al.Large multilamellar liposomes were prepared by rehydrating the lipid film of appropriate molar ratios of distearoyl phosphatidylcholine (DSPC), dimyristoyl phosphatidylglycerol (DMPG) and cholesterol (CHOL) with phosphate buffer containing recombinant human IL-12 at 45\u00b0C. The spontaneous loading of a large complex molecule such as IL-12 is accomplished by a mild denaturation of IL-12 to partially and reversibly unfold the protein to expose hydrophobic domains resulting in the intercalation of the cytokine within or between the lipid bilayers of the liposomes Suspensions of tumor-derived cell aggregates were injected i.p. into NSG mice. All NSG mice raised in a high barrier research colony at The Jackson Laboratory, were housed in specific pathogen-free conditions at SUNY at Buffalo. Each mouse received between 100 to 300 mg of the cell aggregates in a volume of 1.0 ml. All animal experiments were approved by the Institute Animal Care and Use Committee at SUNY at Buffalo.Wyeth Laboratory provided the recombinant human IL-12 that was incorporated into liposomes as described above. Mice bearing the human ovarian tumor xenograft were randomly divided into control and treatment groups. Mice were treated with a) empty liposomes, b) IL-12 containing liposomes (50 \u00b5g/mouse) \u2013 once or multiple times or c) left untreated. The dose of IL-12 was determined based upon the calculated loading efficiency for each liposome preparation. All of the cytokine was associated with the liposome as the free IL-12 was removed from the liposome preparations prior to injection.Blood samples were collected via a retro-orbital sinus bleed. Clotted blood was centrifuged at 1000\u00d7g for 20 minutes and sera harvested and stored at \u221220\u00b0C until use.450\u2013540 and analyzed by comparison with a recombinant IFN-\u03b3 standard using SigmaPlot software.A sandwich ELISA for the detection of human IFN-\u03b3 in mouse serum was performed as previously described 450\u2013540 and analyzed with a human Ig standard using Sigma Plot software.The ELISA for the detection of human Ig (huIg) in mouse serum was reported previously Levels of CA 125 were determined by analysis with the Bayer Immuno ITM CA-125 II assay .H&E staining was performed by the SUNY at Buffalo Histology Service Laboratory where fresh surgical sections of the original tumor, xenografts and mouse tissues were fixed in 10% neutral-buffered formalin and processed for paraffin embedding. Anti-human specific antibodies to the following markers were used for immunohistochemical staining of the xenografts and mouse tissues: anti-CD3 (Dako), anti huHLA-A Class I (Santa Cruz), anti-huCD45 (R&D Systems), anti-hu 138 (Dako) and anti-hu CD20 (ab Cam). Staining was performed as previously reported"}
+{"text": "We show that 25 minutes of transcranial electrical stimulation, as predicted, reduced the decay of SWO in the remainder of the night. Anatomically accurate simulations of the field intensities on human cortex precisely matched the effect size in different EEG electrodes. Together these results suggest a mechanistic link between electrical stimulation and accelerated synaptic homeostasis in human sleep.The sleeping brain exhibits characteristic slow-wave activity which decays over the course of the night. This decay is thought to result from homeostatic synaptic downscaling. Transcranial electrical stimulation can entrain slow-wave oscillations (SWO) in the human electro-encephalogram (EEG). A computational model of the underlying mechanism predicts that firing rates are predominantly increased during stimulation. Assuming that synaptic homeostasis is driven by average firing rates, we expected an acceleration of synaptic downscaling Sleep pressure is reflected in the power of slow-wave activity: it is high after extended wakefulness and gradually decays in the course of the night. Transcranial stimulation with slow-oscillating currents can entrain electro-encephalographic slow-wave oscillations (SWO) and transiently increase their power. Motivated by the results from a multi-scale computational model, we tested in humans whether 25 minutes of transcranial stimulation attenuates the decay of SWO in the remainder of the night. A Finite-Element Model (FEM) is used to estimate the current flow in the brain and a network model of spiking neurons determines the resultant effect on SWO. This multi-scale model predicted increased neuronal firing rates leading to accelerated synaptic downscaling. As a consequence, the decay of SWO power and spatial coherence after stimulation is reduced. In addition to reduced decay rate, the model was also able to successfully predict, in the human experiments, the spatial distribution of the effect across EEG electrodes. These combined experimental and modeling results suggest a mechanism by which electrical stimulation can accelerate synaptic homeostasis and thereby influence a putative process of sleep regulation. The ability to accelerate the homeostatic function of sleep may have important practical implications. Human sleep is characterized by distinct sleep stages which can be readily identified in the electroencephalogram (EEG). Of particular interest is the activity in the 0.5\u20134 Hz frequency band known as slow-wave activity (SWA). The power of SWA increases following extended waking and decreases in power and spatial coherence throughout the night Homeostatic plasticity refers to a physiological feedback mechanism that regulates average firing rates by altering synaptic strength: high firing rates lead to synaptic depression and low firing rates to potentiation Here we consider slow-wave oscillations in the human EEG as a marker for sleep homeostasis and its modulation by transcranial electrical stimulation. We found that a relatively short 25 minutes of stimulation in humans during slow-wave sleep at the beginning of the night had a lasting effect on homeostatic decay of SWO in the hours following stimulation.The effects of transcranial electrical stimulation on brain activity have been the subject of intense investigation in the last decade We hypothesized that stimulation during slow-wave sleep alters neuronal firing rates, which would modulate homeostatic synaptic downscaling and thus alter the homeostatic decay of SWO. A multi-scale computational model makes this hypothesis explicit by linking the macroscopic domains of current flow in the entire head with the microscopic cellular effects of polarization. The model shows that network dynamics of SWA can rectify bi-directional polarization leading to an unidirectional increase of firing rates and synaptic downscaling. A number of predicted effects of stimulation on SWO are subsequently confirmed by the present human EEG sleep data. Specifically, the data confirmed the prediction of diminished SWO decay in the hours after stimulation, and the multi-scale model accurately predicted the effect sizes across multiple scalp electrodes.The ability to accelerate sleep homeostasis may have important practical implications given that SWA is widely considered to be a marker of the restorative power of sleep.In a study on memory consolidation during sleep Our hypothesis on homeostatic plasticity predicted that the decay of SWO should be altered by the transcranial slow-oscillating stimulation administered to participants for 25 minutes in the minute preceding the stimulation period did not differ between sham and stimulation conditions for two representative subjects.Example traces of the analysis performed on the EEG data. The decay of slow-wave oscillations was estimated by fitting power and spatial coherence after the stimulation see . A\u2013B: De(TIFF)Click here for additional data file.Figure S2A: Coherence between model LFP and applied slow-oscillating field as a function of field intensity and fractions of neuron polarized in either direction. B.1: Relative change of the duration of the DOWN state in the case of cathodal (blue) or anodal (red) stimulation (0.31 V/m). B.2: Relative change of the duration of the UP state in the case of cathodal (blue) or anodal (red) stimulation (0.31 V/m). C.1: Entrainment of slow-wave oscillations immediately after the stimulation in the human EEG data (shown here for Pz electrode). The dark gray bar indicate the 10 s interval (delimited by the dashed magenta line) where the distribution of phases of the oscillations across trials and subjects is significantly different from being uniform. The same analysis performed on the following 10 s does not produce results statistically different from a uniform distribution . C.2: Distribution of phases relative to figure C.1 considering all the trials and all the subjects. The 5 stimulation periods for all the subjects were aligned and the exponential decay from the AC-coupled amplifier was removed. The residual was fit to as sinusoid in frequency, phase and amplitude. Entrainment phase was only analyzed for the Pz electrode as this was the electrode with the smallest stimulation artifact. Note that the EEG recording equipment was AC-coupled resulting in a constant phase delay. Thus absolute value of phase is not relevant here. Nevertheless, a consistent phase across subjects despite anatomical differences is indicative of the predicted entrainment to a preferred phase.Entrainment of slow oscillatory activity by applying weak electrical stimulation. (TIFF)Click here for additional data file."}
+{"text": "Journal of Cardiovascular Magnetic Resonance (JCMR) in 2010, which is a 34% increase in the number of articles since 2009. The quality of the submissions continues to increase, and the editors were delighted with the recent announcement of the JCMR Impact Factor of 4.33 which showed a 90% increase since last year. Our acceptance rate is approximately 30%, but has been falling as the number of articles being submitted has been increasing. In accordance with Open-Access publishing, the JCMR articles go on-line as they are accepted with no collating of the articles into sections or special thematic issues. Last year for the first time, the Editors summarized the papers for the readership into broad areas of interest or theme, which we felt would be useful to practitioners of cardiovascular magnetic resonance (CMR) so that you could review areas of interest from the previous year in a single article in relation to each other and other recent JCMR articles [There were 75 articles published in the The definition of normal values for CMR is reasonably mature, although values for special groups are still being defined, but a nuMaceira et al published a comprehensive analysis of normal values for left atrial dimensions and volumes using steady state free precession cine imaging which is categorized by age decile, gender and body surface area. This fo2 = 0.74, p < 0.001), and as LV end-diastolic volume (EDV) increased, RVEDV increased in the same order of magnitude in both males and females . The authors conclude that total heart volume is a strong, independent predictor of maximal work capacity for both males and females, and that long term endurance training is associated with a physiologically enlarged heart with a balance between the left and right ventricular dimensions in both genders.Steding et al describe a study of 113 subjects of whom 71 were athletes of both genders, to test the hypothesis that total heart volume is an independent predictor of peak oxygen uptake, which is known to increase with long term endurance training and relate to left ventricular mass. MultivaThe syndrome of heart failure still raises questions, including the genesis of exercise intolerance and symptoms. EngblomCondreanu et al used high resolution CMR to detect new details of LV systolic and diastolic function, to explain the twisting and longitudinal movements of the left ventricle. The autMendoza et al examined the relation between the severity of echocardiography derived diastolic dysfunction and volumetric filling by automated processing of routine cine CMR. AutomatBollache et al aimed to develop a robust process to automatically estimate velocity and flow rate-related diastolic parameters from PC-CMR data and to test the consistency of these parameters against echocardiography as well as their ability to characterize left ventricular (LV) diastolic dysfunction. The MR Leyva has been a pioneer of the application of CMR to guide cardiac resynchronization therapy, and relate the CMR findings to hard cardiac outcomes. Previous work published in JCMR includes the visualisation of the coronary venous anatomy to guide wire placement, and CMR A number of influences on cardiac function and the electrocardiogram have been reported in JCMR, including obesity, and athlThe unique capability of CMR to measure cardiovascular flow is important in the armamentarium of techniques that contribute to the versatility of CMR. This has greatest application in valve disease,20 but iThe ability to measure the volumes of forward and regurgitant flow through planes transecting the aorta and pulmonary trunk is a unique and clinically valuable capability of CMR. However, these derived measurements of volumetric flow are sensitive to errors caused by small offsets of the measured velocities, and this has been reported previously in JCMR. This muThis paper addressed the related subject of post-acquisition phantom correction of CMR phase contrast flow velocity acquisitions on a General Electric 1.5 Tesla system, as used for aortic, pulmonary and shunt flow measurements in 149 patients in a clinical congenital CMR program. PhantomThe acquisition, analysis and display of multidirectional time resolved 3D or 7D flow has been well developed in JCMR. ErikssoThe presence or absence of gadolinium contrast agent in the blood had no demonstrable effect on phase contrast measurements of aortic flow in this study. TherefoThe treatment of patients with aortic regurgitation (AR) or mitral regurgitation (MR) relies on the assessment of the severity of the regurgitation as well as its effect on LV size and function. This study set out to determine relations between regurgitant volume, measured by phase contrast velocity mapping, LV volumes and LV dimensions in patients with isolated AR or MR and preserved LV function. It is uDirect anatomical imaging of the valves by CMR, including valve morphometry, and reguBicuspid aortic valve (BAV) is a common congenital malformation which, besides its tendency to develop stenosis or regurgitation, predisposes to aortic dilatation and dissection. Compared to healthy controls, this study reports the aortic dilatation found in the group of 18 young BAV patients studied and the increased angle measured between the direction of the left ventricular outflow stream and the axis of aortic root channel. These tPre-procedure assessment of maximal and minimal atrial septal defect (ASD) dimensions and atrial septal margins was performed by both CMR and transesophageal echocardiography (TOE) in this study. CMR acqIn patients with pulmonary hypertension, fractional transverse dimensional shortening, measured from the mid septal region to the free wall of the RV in a four-chamber cine, was found to correlate better with RV ejection fraction than the fractional shortening of the long axis of the RV in this CMR study. The traContrast-enhanced magnetic resonance angiography (CE-MRA) was found to be a useful diagnostic tool for the preoperative evaluation of the morphology of pulmonary arteries and blood supply in this retrospective study of 15 neonates with pulmonary atresia. In mostCMR findings in an unusual case of a 28 year-old female patient with unrepaired truncus arteriosus and also interruption of the aortic arch were illustrated and described in this report.The use of CMR in cardiomyopathy has exploded in the last 5 years and many CMR centres now find cardiomyopathy patients form the largest proportion of the workload. The synergy of CMR with cardiovascular genetics has become clear, as has the need for CMR physicians to work closely with electrophysiology colleagues in assessing arrhythmic and suddCardiac resynchronization therapy (CRT) has been shown to improve clinical outcomes in patients with heart-failure. However, 30-40% of patients who receive CRT therapy do not show significant clinical improvement. There is much interest in refining our recognition of the latter group. In this study, Han et al sought to examine circumferential patterns in patients with LBBB and systolic dysfunction by applying tagged CMR. Septal HCM is typically due to a sarcomeric gene mutation with an autosomal dominant pattern of inheritance. As such, early recognition of functional changes to either recognise gene carriers or as a putative target for therapy would be advantageous. In this study, Germans et al used CMR to assess global LA and LV volumes and regional intramural myocardial function in carriers with normal wall thickness. The asyDuchenne Muscular Dystrophy (DMD) is associated with a skeletal and cardiac myopathy, the latter of which is coming under increasing scrutiny, in humans and animals, as a cauThe presence and amount of fibrosis in HCM appears to portend an adverse prognosis. An important practical challenge however has been defining and quantifying the presence of myocardial fibrosis by the late enhancement technique. Several methods based on a standard deviation or a full-width half maximum method have been proposed. Whilst these are highly reproducible in an infarct setting, in HCM where the fibrosis is more patchy and often diffuse, there is often the challenge of distinguishing true fibrosis from noise. In this study, Donato Aquaro and colleagues describe the merits of a cut-off derived from a Rayleigh curve as being potentially more accurate than using a fixed cut-off using a standard deviation algorithm. FurtherBeta-thalassemia major (TM) is a severe hereditary anemia requiring lifelong transfusions. There is a consequent iron overload, predominantly affecting the heart, liver and endocrine organs. Iron overload cardiomyopathy remains a major cause of death and therefore early detection of iron-induced cardiac toxicity is important, following by iron chelation treatment tailored to the heart. In addiThe first question raised by this title must be -'so what is Miyoshi myopathy'? Miyoshi Myopathy (MM) is a distinct form of muscular dystrophy caused by mutations within the dysferlin (DYSF) gene resulting in severe to complete deficiency of dysferlin expression. Clinically, these dysferlinopathies start in young adulthood with progressive muscle weakness and atrophy that advances to severe disability in older adulthood. While the profound effect of dysferlin deficiency in skeletal muscle has been the subject of much investigation, the effect of dysferlin deficiency in cardiac muscle have not been studied yet. In this study, Choi et al, demonstrated a reduction in longitudinal strain and the presence of replacement fibrosis in a subset of affected patients. This waIt is generally acknowledged that exercise is a good thing. Yet debate persists about the true health benefits of ultra-endurance forms exercise - particularly marathon running where a troponin rise is seen - often to the same levels as an acute myocardial infarction. In this study, O'Hanlon and colleagues examined if there were detectable tissue changes on CMR in a cohort of volunteers scanned following a marathon. A baselThe role of epicardial adipose tissue (EAT) and its contribution to the development of cardiac pathology is quite ambiguous. There is growing evidence of a close functional and anatomical relationship between the adipose tissue and muscular components of the heart. Its close proximity to the myocardium suggests that EAT is a metabolically active organ and a source of several bioactive molecules may influence cardiac morphology and function. In this study, Doesch et al demonstrate that in patients with CHF and severely reduced impaired LV-EF (LV-EF < 35%), EAT is significantly reduced compared to healthy controls. The redEnd stage liver disease (ELD) is associated with major alterations in the regulation of the cardiovascular system. Portal hypertension and/or hormonal changes in ELD induce a hyperdynamic circulatory state characterized by arterial hypotension and tachycardia and are often accompanied by ascites and electrolyte disturbances. Recent data also emphasizes the impact of liver function on renal and pulmonary (hepatopulmonary and portopulmonary syndrome) circulation. Whilst there is much focus on the causes and treatment of renal and pulmonary manifestations, relatively little is understood about the myocardial changes as a result of ELD. In this study, Lossnitzer et al show that myocardial alterations have a high prevalence among ELD patients. This isIn the evaluation of myocarditis, CMR has now frequently replaced the more traditional method of endomyocardial biopsies (EMB) to confirm the diagnosis. As well as being invasive and with a tangible risk of severe morbidity or mortality, EMB has frequently suffered from sampling bias resulting in a low sensitivity. In an animal model, the extent of LGE correlated to the histological severity of myocarditis and to serum-levels of troponin T on day 21. Areas oDesmin is the main intermediate filament protein expressed in skeletal, cardiac, and smooth muscle. It interacts with other proteins to form a continuous cytoskeletal network that maintains a spatial relationship between the contractile apparatus and other structural elements of the cell, thus providing maintenance of cellular integrity, force transmission, and mechano-chemical signalling. Primary desminopathies are caused by mutations in the desmin gene. This disease is characterized by an intracellular accumulation of insoluble protein aggregates eventually leading to cell death and replacement fibrosis. In this case report, fibrosis was detected by LGE in the absence of global or focal systolic wall motion abnormalities. LGE mayMany experts consider that CMR will play an increasing role in characterisation of the atherosclerotic arterial wall, with a fThis is an interesting study that attempts to examine atherosclerosis progression and regression in multiple vascular beds of 28 patients using black blood CMR over a one year period. LuminalThis is an observational, cross-sectional study of aortic dimensions within a large, unselected cohort of adult patients with Turner's syndrome (TS). As suchThis small ex vivo study examines the feasibility of detecting carotid plaque calcification using an ultra-short TE (UTE) technique. FourteeThe authors quantitatively compare three different approaches for aortic pulse wave velocity measurements at 3 T including transit time, flow area measurements and the cross correlation method. Fifty hThis is an interesting case report on the natural history and evolution of spontaneous intramural haematoma (IMH) in a patient with good quality images and literature review. The IMHThe authors describe the association between atheromatous plaque eccentricity with morphology and composition in the superficial artery assessed by multicontrast weighted-CMR. The stuThis study describing a phantom and mouse set of experiments validating the transit time method by MR phase velocity encoding for measuring pulse wave velocity using 17.6 T scanner. The autCMR Black blood coronary wall imaging was used in 223 elderly patients without known history of cardiovascular disease to evaluate coronary wall CMR in an asymptomatic older cohort. Image qPerfusion CMR continues to grow, and new steps in optimisation have been published including accelerated acquisition, high field CMR, and improved analysis including quantification. In many centres, perfusion CMR is making inroads into established referral patterns for nuclear based techniques. Progress in perfusion CMR in children and women in particular has occurred in a desire to lower radiation burden in these sensitive individuals. HoweverKelle et al performed perfusion CMR on 38 patients after coronary bypass grafting (CBG) without coronary obstruction and compared the results with 20 patients with no obstructive coronary disease at coronary angiography to determine whether differences in epicardial wash-in kinetics were present. In areaHamon et al performed a meta-analysis of the performance of perfusion CMR summarising 35 original articles fitting pre-specified inclusion criteria including 1.5 T imaging and comparison with coronary angiography. From thRaman et al performed an unusual and interesting perfusion CMR study, using treadmill stress and real-time CMR in a cohort of 43 patients referred for perfusion SPECT. Using aChih et al performed an important study examining the interstudy reproducibility (test-retest repeatability) of adenosine stress perfusion CMR in 20 patients (10 with coronary disease and 10 at low risk for coronary disease). The CoVKim et al explored the use of radial data acquisition at 3 T for quantification of perfusion CMR. Using aJerosch-Herold has pioneered many aspects of perfusion CMR, and in this authoritative review he summarises the quantification of myocardial perfusion using first pass techniques. The potNguyen et al studied whether obstructive sleep apnoea (OSA) as a risk factor for coronary artery disease, by measuring myocardial perfusion and brachial artery reactivity in a randomised controlled study of 35 OSA patients randomised to 3 months of nasal continuous positive airway pressure (nCPAP) or sham nCPAP. PatientKaramitsos et al studied the use of high-dose adenosine for perfusion CMR in patients who showed no haemodynamic response to adenosine at the normal dose of 140 ug/kg/minute. In a stIncreased research in acute coronary syndromes has been driven by the ability of CMR to look at a number of phenomena that are difficult or impossible to image by other in-vivo techniques. This includes microvascular obstruction, myocardial edema, myocardial salvage and relation of findings to wall motion. There iTroponin biomarkers are very sensitive of myocardial infarction but patients sometimes present with an elevated troponin in the setting of inconclusive symptoms and ECG-changes. Confirmation of acute coronary syndrome (ACS) or accurate non-ACS diagnosis is of paramount importance to avoid unnecessary invasive procedures and to guide therapy. Steen et al reported on the role of CMR in 29 such patients with elevated troponin yet low-intermediate probability of IHD. A comprThe use of CMR for identification of myocardium at risk (MaR), the myocardium supplied by the occluded vessel that is subject to ischemia has received considerable recent attention. Ubachs et al compared short-axis triple inversion turbo spin echo T2w imaging with LGE for assessment of MaR in 37 patients with early reperfused first-time ST segment elevation myocardial infarction (STEMI) within a week of percutaneous coronary intervention. T2w MaRIn another ACS study, Sorensson et al studied MaR derived from the contrast enhanced cine steady-state-free precession (SSFP) CMR compared with single photon emission computer tomography (SPECT) as the gold standard. SixteenMather et al applied LGE CMR to examine the impact of dysglycemia on acute myocardial infarction (AMI) size in 93 patients presenting with their first AMI. PatientKirschner et al used a novel CMR contrast agent gadolinium, Gd (ABE-DTTA), to differentiate acute vs. chronic (one month old) myocardial infarction in a dual infarction canine model. Gd ABE-Since the seminal clinical publication by Kim et al over a decade ago, LGE CMR plus normal segments. Receiver operator characteristic analysis demonstrated that at least 10 viable plus normal segments best predicted an LVEF improvement of \u2265 3%.Pegg et al extended this work by examining whether viable or the sum of viable plus normal segments best predicted recovery of global LVEF in 33 patients undergoing coronary artery bypass grafting (CABG). OverallNovel insights into the mechanism of ventricular remodelling to betablocker and mechanical revascularization were reported by Kaandorp et al who studied 32 patients with chronic IHD before and 8 months after assignment to betablocker or revascularization therapy. In bothCMR has been used to monitor the success of stem cell treatment in animals, but humaA highlight of the 2010 JCMR publications was an comprehensive review of dobutamine stress CMR by Charoenpanichkit and Hundley, a pioneer and ongoing leader in the field. The revFluechter et al investigated the role of myocardial fibrosis detected by late gadolinium-enhancement (LGE) CMR as a potential arrhythmogenic substrate in 76 consecutive patients with HCM. Of thes\u00ae) and a custom-built, CMR-compatible delivery device for the Medtronic CoreValve\u00ae prosthesis as an initial step towards real-time CMR-guided TAVI[\u00ae prosthesis was well visualized with good visualization during catheter movement and valve deployment on real-time TrueFISP imaging. Reliable flow measurements could be performed for both stent-valves after deployment using phase-contrast sequences. The authors conclude that the novel prosthesis is potentially suited for real-time CMR-guided placement in vivo after suggested design modifications of the delivery system.Cardiovascular magnetic resonance (CMR) is attractive for real-time device placement and intervention, but soluided TAVI. The devex vivo animal hearts proved very popular[The editors of JCMR continue to support publication of new CMR techniques and the recent review on diffusion spectral imaging (DSI) with application to tractography of y popular. The newin vivo by 3D tagging during systole were validated by comparison with more conventional analysis and measurements of myocardial strain.Myocardial tagging still presents technical challenges in implementation and analysis,110. ThiThe paper describes a means of estimating the full 3D strain tensor from a slice displacement encoded in three orthogonal directions, and including assumptions about the through-plane shear components and compressibility of the tissue. The anaThis paper demonstrates initial results of an approach providing real-time CMR, the data from which can be retrospectively reconstructed to provide high resolution. The metThe huge increase in the development of transgenic mouse models has made mouse phenotyping an increasingly important topic, and basic issues such as sedation and anaesthesia can affect these tiny hearts. In thisThis article by Schuster et al is of significant interest to the CMR community. While pThis paper describes a novel approach to detect stress-induced myocardial ischemic reaction using CMR T2* at 3 T in patients with suspected or known coronary artery disease (CAD). With quThis manuscript represents a useful review of the application of 3 T CMR and how this differs from 1.5 T. It is wIn this paper, the authors present an investigational study on a potential application of MR-Elastography (MRE) in cardiology, and the This paper describes the use of the acoustic sensing approach to gating CMR data acquisitions. The metThis manuscript is of interest to the CMR community, since many advanced CMR sites are currently moving to quantitative techniques for the assessment of myocardial injury. The autThis is an excellent introduction into the basic physics relating to cardiovascular magnetic resonance. It reviFor busy practitioners of CMR, there is a well recognised source of referrals which is simply put as unusual pathology, or cases where other imaging has failed to yield a definitive diagnosis, or where a research technique might have clinical application. These include pericardial disease,,125 tumoAs myocardial oxygenation may serve as a marker for ischemia and microvascular dysfunction, it could be clinically useful to have a non-invasive measure of changes in myocardial oxygenation, however the impact of induced blood flow changes on oxygenation is not well understood. Vohringer et al used oxygenation-sensitive CMR to assess the relation between myocardial oxygenation, coronary sinus blood oxygen saturation (SvO2) and coronary blood flow in a dog model in which hyperemia was induced by intracoronary administration of vasodilators. During McCommis et al assessed the feasibility of new CMR methods to quantify global and/or regional myocardial oxygen consumption rate (MVO2) at rest and during pharmacologically induced vasodilation in 6 normal volunteers. A breatWinter et al review the growing field of CMR molecular imaging, which aims to identify and map the expression of important biomarkers on a cellular scale utilizing contrast agents that are specifically targeted to the biochemical signatures of disease and are capable of generating sufficient image contrast. ExampleTomasian et al report a beautifully illustrated case of left atrial paraganglioma with striking PET-CT and CMR images.AR: aortic regurgitation; ASD: atrial septal defect; CMR: Cardiovascular magnetic resonance; DMD: Duchenne muscular dystrophy; EAT: epicardial adipose tissue; EF: ejection fraction; EDV: end diastolic volume; ESV: end systolic volume; HCM: hypertrophic cardiomyopathy; JCMR: Journal of cardiovascular magnetic resonance; LGE: Late gadolinium enhancement; LV: Left ventricle; MAR: myocardium at risk; MR: mitral regurgitation; MVO2: myocardial oxygen consumption rate; OEF: oxygen extraction fraction; PC: phase contrast; RV: right ventricle; TM: thalassemia major.The authors declare that they have no competing interests.All authors contributed to the writing of this review article."}
+{"text": "Understanding the neural mechanisms of action potential generation is critical to establish the way neural circuits generate and coordinate activity. Accordingly, we investigated the dynamics of action potential initiation in the GABAergic thalamic reticular nucleus (TRN) using in vivo intracellular recordings in cats in order to preserve anatomically-intact axo-dendritic distributions and naturally-occurring spatiotemporal patterns of synaptic activity in this structure that regulates the thalamic relay to neocortex. We found a wide operational range of voltage thresholds for action potentials, mostly due to intrinsic voltage-gated conductances and not synaptic activity driven by network oscillations. Varying levels of synchronous synaptic inputs produced fast rates of membrane potential depolarization preceding the action potential onset that were associated with lower thresholds and increased excitability, consistent with TRN neurons performing as coincidence detectors. On the other hand the presence of action potentials preceding any given spike was associated with more depolarized thresholds. The phase-plane trajectory of the action potential showed somato-dendritic propagation, but no obvious axon initial segment component, prominent in other neuronal classes and allegedly responsible for the high onset speed. Overall, our results suggest that TRN neurons could flexibly integrate synaptic inputs to discharge action potentials over wide voltage ranges, and perform as coincidence detectors and temporal integrators, supported by a dynamic action potential threshold. Brain activity is structured by the dynamic encoding and processing of information in neuronal circuits. The cellular components of neural circuits continuously transform varying spatiotemporal patterns of synaptic inputs into trains of action potentials that support network operations and communication An important component of the temporal sensitivity of cortical neurons derives from the voltage-gated conductances that underlie the action potential Not much information is available about action potential initiation in the thalamus, where neuronal populations exhibit distinct activity patterns, anatomical structure and connectivity We report a wide operational spike threshold range, rapid onset and steep initiation of action potentials, and the unexpected voltage-dependent onset speed of action potentials in TRN neurons in vivo, a phenomenon that seemingly depends on the effective density of sodium channels. We previously found that TRN neurons can operate as temporal integrators, due to a long voltage-dependent membrane time constant in the cortically evoked synaptic responses TRN neurons (n\u200a=\u200a27) were intracellularly recorded and electrophysiologically identified by their characteristic low-threshold spikes, high-frequency burst discharge and accelerando-decelerando firing pattern The standard deviation of each voltage threshold distribution provides a measure of spike threshold variation The fact that the wide range of the spike thresholds found in TRN neurons was similar under two distinct network conditions suggested that it could be the result of intrinsic membrane mechanisms. To establish if that was the case, we compared in the same cells the distribution of action potential thresholds in response to depolarizing currents steps at various intensities (0.5\u20131.5 nA) to the onset range measured from the spontaneously active periods during network oscillations; that is, activated epochs during slow oscillations (in recordings with ketamine-xylazine anesthesia) or spindle oscillations (in recordings with barbiturate anesthesia) . The varSeveral causes underlie the variation in action potential threshold. Previous studies have found in cortical neurons that the rate of change of the membrane potential preceding the action potential affects the action potential initiation In the population of analysed tonic spikes, we found results similar to previous studies in cortical cells The increase in the spike threshold could be related to a decrease in the availability of sodium channels due to inactivation Previous modelling studies have suggested that for short intervals, the inter-spike interval (ISI) could influence the occurrence of subsequent spikes nth previous ISI. In fact, the action potential threshold of any given spike was partially correlated with multiple previous ISIs. In addition, the number of significantly correlated previous ISIs was linearly correlated with the mean ISI for any given cell .So far we have characterised the onset range of action potential voltage thresholds. Next, we set out to analyse the onset speed of action potentials. The dynamics of action potential initiation in TRN neurons was characterized by a very rapid onset and a steep slope in membrane potential , similar\u22121ms\u22121) was statistically significant . Furthermore, reducing the effective density of available sodium channels by QX-314 application in the recording pipette .Previous modelling studies have predicted that the steepness of the action potential onset in cortical neurons is independent of the spike threshold pipette decrease pipette and freq pipette , as expeThese results indicate that the onset speed of action potentials is voltage-dependent in TRN neurons, a phenomenon that also depends on the effective density of sodium channels, as it becomes more apparent when sodium channels are blocked by the lidocaine derivative QX-314.We have studied the dynamics of initiation of action potentials in the GABAergic TRN neurons in vivo. We found that TRN neurons are sensitive to synchronous synaptic inputs that result in rapid changes in the membrane potential preceding the onset of action potentials, suggesting a dynamic mechanism for synaptic coincidence detection. In addition, we have previously shown that TRN neurons can perform as good rate-coding integrators Our results demonstrate that TRN neurons do not perform only as enhanced temporal integrators that discharge an action potential once the voltage threshold is reached. Instead, spike threshold varies over a wide operational range of membrane potentials and is sensitive to the rate of membrane potential depolarization. So that the spike threshold is lowest when the membrane potential depolarizes rapidly and highest when TRN neurons are depolarized and discharging at high rates. This indicates that the mechanism of spike generation dynamically regulates the neuronal output as a function of the magnitude and time course of the membrane potential depolarization Despite the fact that the TRN nucleus is entirely constituted by GABAergic cells, it is still able to generate and propagate patterned synaptic activity, both locally and globally Our results show that TRN neurons exhibit one of the most dynamic spike voltage thresholds reported so far; a fact suggesting that these neurons can flexibly integrate synaptic inputs to discharge action potentials over wide voltage ranges. The GABAergic nature of TRN neurons does not explain the large spike voltage thresholds variability reported here, as previous studies have found narrow dynamic ranges for GABAergic neurons in the neocortex B-receptor mediated IPSPs onto target thalamocortical cells that overcome GABAA-receptor mediated inhibitory potentials A-receptor mediated inhibitory currents The large variability of voltage thresholds is unlikely to be relevant for the precise timing of burst discharges, as they activate large GABADuring wakefulness, when most sensory information is encoded and relayed to the cortex, TRN neurons operate mostly, if not exclusively, under the tonic regime. Under such conditions, the dynamic range of spike thresholds could be highly relevant for setting the precise timing of inhibition on thalamocortical cells, gating the flow of information between the thalamus and the cortex. During sleep stages, when large territories are highly synchronized and organized by spindle oscillations and slow waves, thalamocortical neurons and corticothalamic intrinsically bursting neurons preferentially discharge high-frequency bursts (>200 Hz), impinging onto TRN neurons and driving their activity Recordings from pyramidal neurons have shown a biphasic rate of rise during early phases of the action potential Previous studies have provided experimental and modelling evidence for the steepness of the action potential onset in cortical neurons as independent of the spike threshold Finally, the TRN is not the first structure proposed to combine the seemingly antagonistic functions of temporal integration and coincidence detection. Indeed, recent work in vitro has shown that neurons in slices of the subthalamic nucleus exhibit a balance between active and passive conductances that gives them an effectively zero membrane conductance (and an effectively infinite membrane time constant) over a wide voltage range 2 concentration at 3.5%. Body temperature was maintained at 36\u201338\u00b0C. The depth of anesthesia was continuously monitored by EEG, and additional doses of anaesthetic were administered at the slightest tendency toward low-voltage and fast EEG rhythms. At the end of experiments, animals were given a lethal dose of pentobarbital (50 mg/kg).All experiments were carried out in strict accordance with the recommendations in the Guide for the Care and Use of Laboratory Animals of the National Institutes of Health. Protocols were approved by Comit\u00e9 de protection des animaux de l'Universit\u00e9 Laval, Vice-rectorat \u00e0 la recherche et \u00e0 la cr\u00e9ation . All surgery was performed under deep anesthesia, and all efforts were made to minimize suffering. Experiments were conducted on adult cats (2.5\u20134.5 kg) from either gender, anesthetized with pentobarbital sodium or a mixture of ketamine HCl or xylazine HCl . When cats showed the signs of deep anesthesia, they were paralysed with gallamine triethiodide and artificially ventilated with control of the end-tidal COCurrent-clamp intracellular recordings from the rostral and rostrolateral sector of the TRN were performed using sharp electrodes, glass micropipettes . To avoid breaking of recording micropipettes, the cortex and white matter overlying the head of the caudate nucleus were removed by suction. Pipettes were then descended 3 mm through the caudate nucleus to reach the TRN nucleus. Pipettes were generally filled with a solution of K-acetate (3 M) and, in some experiments, the lidocaine derivative N-ethyl lidocaine was added. The stability of intracellular recordings was ensured by cisternal drainage, bilateral pneumothorax, hip suspension, and by filling the hole over the thalamus with 4% agar solution. A high-impedance amplifier with active bridge circuitry was used to record and inject current inside the cells. Input resistance and intrinsic firing patterns were assessed by using square wave current pulses (range \u22122 to +2 nA). Electrophysiological signals were digitized at a rate of 20 KHz and stored for off-line analysis.Electrical stimulation of corticothalamic fibers was performed by descending one or two bipolar stimulating electrodes to the internal capsule and applying extracellular current pulses .The software package Neuromatic was used for most analyses. Neuromatic runs in Igor Pro 6.0 . For some analyses we also used MatLab . The aim of the analysis was to measure the voltage threshold of each action potential in each cell and to determine the threshold range and onset speed of action potentials and their relation to several parameters of cellular activity. Only cells with large action potentials (that reached 0 mV) that did not decrease in amplitude (>10 mV) during sustained depolarization were included To measure the action potential threshold we used two different methods. In the first method, voltage threshold was defined as the voltage at the onset of each action potential that generated the maximum curvature with a fitting Boltzmann function the action potential was plotted against the voltage threshold of the action potential and correlated by adjusting a linear fit as previously reported for pyramidal cells To obtain an estimation of the degree of inactivation during spiking in vivo we calcuSome portions of raw data (intracellular voltage recordings) from several of the cells presented here (n\u200a=\u200a11 of 27) have been used in previous publications (cell in Unless stated, all tabulated data are presented as the mean \u00b1 SD. Exact Mann Whitney U-test was used for statistical comparisons between populations and the two-tailed t test distribution was used to assess significance of linear correlations. Significant differences were accepted at p<0.05.In order to compare the means from small samples we used"}
+{"text": "An error occurred in the \"Scaling issues and analysis\" sub-section of the Methods section, in which certain characters were changed to question marks. Please see the corrected paragraph here:"}
+{"text": "Models of cortical dynamics usually either cover small cortical circuits in detail, or represent large patches in a highly simplified manner, for instance using a few differential equations for each area. This is due partly to limited computational resources, and partly to sparsity of large-scale structural connectivity data. These two barriers are now being lifted. Recent developments in the simulation technology NEST and the Making use of these developments, we construct a model comprising the 32 areas of the macaque cortex associated with visual processing, where the individual areas are based on our recent layered cortical microcircuit model and anatCombining a simple neuron model with complex connectivity enables us to study the influence of the structural connectivity itself on cortical dynamics. We present preliminary results on basic dynamical features like area- and population-specific firing rates and degrees of irregularity. In addition, we examine the influence of the cortico-cortical connections by comparing dynamical features like power spectra of the isolated primary visual cortex (V1) with Poisson input to its dynamics when embedded in the global network. This model bridges the gap between abstract large-scale models and small-scale microcircuit models. It therefore provides a link between global activity patterns and local spiking activity."}
+{"text": "During the last years accumulating evidence demonstrated that the nuclear receptor peroxisome proliferator-activated receptor-gamma (PPARgamma) regulates the expression of renin gene and thus the overall renin production. This review summarizes the current knowledge of the transcriptional control of the renin gene by PPARgamma received from variety of models ranging from cell culture to transgenic animals. The molecular mechanisms of the PPARgamma action on renin are particularly interesting because they are featured by two newly described characteristics: one of them is the recently identified PPARgamma target sequence Pal3 which is specific for the human renin gene and mediates exceptionally high sensitivity to transactivation; the other is the potentiating effect of PPARgamma on the cAMP signaling in the renin-producing cells. Furthermore, I discuss the need for generating of additional transgenic animal models which are more appropriate with regard to the role of the PPARgamma-dependent regulation of the renin gene expression in human diseases such as arterial hypertension and metabolic syndrome. The renin promoter has two evolutionary conserved regulatory regions: the proximal promoter which lies immediately upstream of the transcription starting site and the distal (or kidney) enhancer which consists of approximately 240\u2009bp located at around \u22122.6\u2009kb in the mouse and \u221212\u2009kb in the human renin gene [Renin is aspartyl protease produced by the juxtaglomerular (JG) cells in the afferent arterioles of the kidney. It is the limiting enzyme in renin-angiotensin system (RAS), which plays crucial role in the control of blood pressure and salt excretion. The renin production is tightly regulated at the transcriptional level. Although the active renin is released into the circulation through regulated exocytosis, chronic (patho)physiological cues influencing the renin production always induce parallel changes in the plasma renin concentration (PRC) and the renin mRNA levels in the JG cells . TherefoThe transcription factors driving the renin gene could be divided into two groups based on their functional role and their promoter interaction site . The firPPARgamma belongs to a family of nuclear receptors which also includes PPARalpha and PPARdelta/beta. The PPARs are class I ligand-activated nuclear receptors (termed NR1C1 to C3 according to the unified nuclear receptor nomenclature) and are generally induced by fatty acids. They bind to DNA as heterodimers with RXR to a core recognition sequence known as PPRE (PPAR response element) or DR1 since it represents a direct repeat with 1\u2009bp spacer of the consensus nuclear receptor binding site 5\u2032-A(G)GGTCA-3\u2032 (termed hormone response element (HRE)). Although the PPARs were originally described to regulate the lipid metabolism, it is now known that they are ubiquitously expressed and involved in multiple aspects of the control of whole body homeostasis , 17. PPARgamma was originally identified to stimulate the renin production during screening of the effect of free fatty acids on renin in an attempt to identify mechanisms responsible for the development of arterial hypertension during obesity . It was We also found that the combination of the dual binding pattern of PPARgamma with the promiscuous heterodimerization of RXR with nuclear receptors at other HRE-binding sites could contribute to the preserved binding of PPARgamma homodimers to Pal3 at low cellular expression of PPARgamma . This prNext to the classical ligand-dependent activation, posttranslational modification by the small ubiquitin-like modifier (SUMO) was found to modulate the PPARgamma function . NotewoThe mouse orthologue of the human renin Pal3 turned out to be functionally silent in spite of the high sequence similarity. Consequently a quest for the PPARgamma-binding site in the mouse renin gene started. Such sequence proved to be the direct repeat HRE element in the kidney enhancer which had already been reported to mediate the upregulation of the renin expression by vitamin A , 20. Thi3 receptor (VDR) heterodimerizes with CREB bound to the renin enhancer CRE (cAMP response element) to repress the renin transcription [A large board of data from cell culture and in vivo studies unequivocally demonstrates that the cAMP/PKA/CREB pathway is central for the control of the renin gene transcription and the overall renin production (reviewed in ). cAMP mcription . Furthercription . PPARgamcription . The potcription .In summary, PPARgamma appeared to stimulate the renin expression via a dual mechanism: directly, through the PPARgamma-binding sequences in the renin promoter; and indirectly, by amplifying the agonist-induced cAMP production through increased AC6 transcription .PPARgamma is considered as the key molecule in the pathogenesis of MetS. This syndrome includes obesity accompanied by hyperlipidemia, insulin resistance/diabetes mellitus type 2, and arterial hypertension . AccordiThe plasma renin concentration is increased in obesity and contributes significantly to cardiovascular and renal complications . Since P"}
+{"text": "The aim of this case report is to present the additional value provided by CT virtual endoscopy and 3D stereoscopic visualisation when compared with 2D visualisations in the assessment of coronary stenting. A 64-year old patient was treated with left coronary stenting 8 years ago and recently followed up with multidetector row CT angiography. An in-stent restenosis of the left coronary artery was suspected based on 2D axial and multiplanar reformatted images. 3D virtual endoscopy was generated to demonstrate the smooth intraluminal surface of coronary artery wall, and there was no evidence of restenosis or intraluminal irregularity. Virtual fly-through of the coronary artery was produced to examine the entire length of the coronary artery with the aim of demonstrating the intraluminal changes following placement of the coronary stent. In addition, stereoscopic views were generated to show the relationship between coronary artery branches and the coronary stent. In comparison with traditional 2D visualisations, virtual endoscopy was useful for assessment of the intraluminal appearance of the coronary artery wall following coronary stent implantation, while stereoscopic visualisation improved observers\u2019 understanding of the complex cardiac structures. Thus, both methods could be used as a complementary tool in cardiac imaging. In recent years, coronary artery disease has been increasingly treated by coronary stent placement. Although stent implantation has been shown to greatly reduce restenosis after balloon angioplasty , 2, in-sCurrently multi-detector row computed tomography (MDCT) is increasingly used for non-invasive imaging of coronary artery disease and has been reported to have a high diagnostic accuracy in the detection of coronary artery stenosis and in-stent restenosis, especially with the development of the latest 64-detector row CT scanners -7. NearlIn this case report, we presented our experience of using virtual endoscopy and 3D stereoscopic views for visualisation of the coronary artery and coronary stent in a patient treated with coronary stenting. The aim of the case report was to identify the potential value of these 3D visualisations in demonstration of complicated cardiac structures when compared to conventional 2D visualisations.A 64-year old man presented with exertional angina in 1998 and was investigated with an exercise ECG, which showed weakly positive results. Thallium scans were negative for differential differences in left ventricular coronary artery flow. Persistent angina was further investigated in 1999 with coronary angiography and showed a 70% stenosis at the origin of the left main coronary artery. This was treated with a Left Internal Mammary Artery (LIMA) bypass to the descending and long saphenous Vein Bypass (LSV) to the circumflex coronary arteries. Angina persisted and repeated angiography in 2000 showed that the LIMA bypass was not patent and the stenosis had progressed. The origin of the left main coronary artery was treated with a bare stent and dilated to 4 mm. In 2008 further investigation was requested for travel insurance and the CT angiography was performed to avoid invasive investigation.Coronary CT angiography was performed using a 64-detector row CT scanner with a section thickness of 0.625 mm and reconstruction interval of 0.4 mm. Curved multiplanar reformatted images were generated at the CT scanner workstation. The original DICOM data was transferred to a separate workstation equipped with Analyze V 7.0 for generation of virtual endoscopic and stereoscopic images. Generation of virtual endoscopic images was performed with a CT thresholding technique, which has been described before . IntraluIn addition to the static virtual endoscopy visualisations, we also produced dynamic fly-through of the coronary arteries with the aim of demonstrating the entire coronary arteries. This was performed by setting a number of virtual cameras along the path of the coronary arteries. A fly-through of the left coronary artery including left anterior descending and left circumflex branch confirmed the findings of static virtual endoscopic visualisations, which showed the smooth appearance of coronary lumen.A stereoscopic pair of images consists of two projections of the same 3D object acquired from two slightly different viewing angles. The pair of stereoscopic images is displayed so that only the left eye sees the left projection and only the right eye sees the right projection. As a result, the observer is able to reconstruct and appreciate the 3D object mentally including the depth dimension. In our study, the reviewers used red/blue glasses for the stereoscopic display of the cardiac anatomic structures as shown in MDCT has been increasingly used for the diagnosis of coronary artery disease and follow-up of coronary stenting due to its improved spatial and temporal resolution, especially with the advancement of 64-detector row scanners -7. In adOur results in this case study demonstrated the superiority of virtual endoscopy with intraluminal views over conventional extraluminal visualisations. This is manifested by visualisation of the smooth intraluminal surface in both stented and normal coronary artery lumen. In this case, virtual endoscopy excludes the presence of coronary in-stent re-stenosis or any stent-related changes in the coronary artery wall.We also included stereoscopic visualisation in this case and our results showed that it offers better understanding of the complex cardiac structures. Our previous study confirmed that stereoscopic viewing provides additional information regarding any distortions of the fenestrated stents compared with conventional 2D visualisations . Thus, sDrug-eluting stents are increasingly being used in clinical practice with the aim of preventing in-stent restenosis, and research has shown the decreased incidence of stent re-stenosis when compared to bare metal stents , 14. HowFollow-up of coronary stenting with regard to the appearance of intraluminal wall with the aim of identifying the artery wall changes by use of virtual endoscopy;Confirmation of suspected in-stent re-stenosis in any section of the coronary artery branch with aid of virtual endoscopy;Enhancement of endovascular specialists\u2019 understanding of the relationship between coronary stents and coronary arteries and appreciation of complex anatomic structures with the aid of 3D stereoscopic visualisation."}
+{"text": "Mycobacterium tuberculosis (MTB), survives inside macrophages by blocking phagosome maturation and establishes chronic infection characterized by the formation of granulomas. Trehalose-6,6-dimycolate (TDM), the mycobacterial cord factor, is the most abundant cell wall lipid of virulent mycobacteria, is sufficient to cause granuloma formation, and has long been known to be a major virulence factor of MTB. Recently, TDM has been shown to activate the Syk-Card9 signaling pathway in macrophages through binding to the C-type lectin receptor Mincle. The Mincle-Card9 pathway is required for activation of macrophages by TDM in vitro and for granuloma formation in vivo following injection of TDM. Whether this pathway is also exploited by MTB to reprogram the macrophage into a comfortable niche has not been explored yet. Several recent studies have investigated the phenotype of Mincle-deficient mice in mycobacterial infection, yielding divergent results in terms of a role for Mincle in host resistance. Here, we review these studies, discuss possible reasons for discrepant results and highlight open questions in the role of Mincle and other C-type lectin receptors in the infection biology of MTB.The world's most successful intracellular bacterial pathogen, In Geisel et al. . The increased mycobacterial numbers in the Mincle\u2212/\u2212 mice were paralleled by a stronger expression of inflammatory genes in the lungs. Given the expression and function of Mincle in granulocytes described in the same paper, it would be interesting to know whether neutrophil accumulation, integrin expression and cytokine production in the lungs is particularly affected in the mice infected in the Lee et al. study. The higher expression of inflammatory genes in Mincle\u2212/\u2212 lungs is difficult to interpret because it could be entirely due to the increased mycobacterial load generating more PAMPs for activation of receptors other than Mincle. One can only speculate at which time after infection Mincle\u2212/\u2212 mice start to have higher MTB burden in the lung; one possibility is that a lack of recruitment and proper activation of neutrophils early after infection gives MTB the ability to survive and grow better than in WT mice.The second study reporting on the phenotype of MincleM. bovis BCG in intratracheal and intravenous infection models or employed the vaccine strain M. bovis BCG . Although all these strains have abundant TDM in the cell wall, they may differ in the length of mycolic acid chains, modifications and the mixture of other glycolipids present in the cell wall, which may account for the difference in the requirement for Mincle. Of interest, in vitro infection experiments of macrophages showed a stronger dependence of the NO production and of G-CSF secretion on Mincle when BCG was used compared to MTB H37Rv in an Ag85A-dependent manner (Matsunaga et al., In principle, another variable can be introduced by changes in the culture conditions used to grow the mycobacteria before infection. For example, the commonly used inclusion of detergents like Tween in the mycobacterial broth to prevent clumping has been shown to drastically modify the presence of a polysaccharide capsular structure (Sani et al., Finally, the hygiene status of mouse colonies can be expected to alter the basal levels of innate immune activation in general and of Mincle expression levels on phagocytes in particular through effects of TLR- and CLR-dependent PAMPs.\u2212/\u2212 mice develop high mycobacterial burden in the lungs and die within 4\u20136 weeks. Card9\u2212/\u2212 macrophages normally phagocytosed and killed MTB in vitro, but were impaired in the production of inflammatory cytokines and chemokines. In vivo, Card9\u2212/\u2212 mice had a striking increase in neutrophil infiltration in the lung that was linked to tissue destruction and death of the mice by depletion experiments (Dorhoi et al., The adapter protein Card9 is expressed in myeloid cells and was initially identified as crucial for transducing the signal of the C-type lectin receptor Dectin-1 to NFkB activation (Gross et al., M. bovis BCG or MTB (Yadav and Schorey, M. abscessus and impaired ROS production was reported when Dectin-1 was blocked in mouse macrophages (Shin et al., in vivo, Brown and colleagues challenged Dectin-1 KO mice with virulent MTB. The mycobacterial load in the lungs was unexpectedly slightly reduced in Dectin-1 KO mice, but there were no significant differences in lung pathology or adaptive immune responses (Marakalala et al., Dectin-1 has been implicated by several labs in the response to mycobacteria, but the nature of the ligand has remained unknown to date. Blocking Dectin-1 with antibodies or laminarin reduced cytokine responses to via induction of IL-10 production (Geijtenbeek et al., \u2212/\u2212 mice was seen in the spleen. SIGNR3 binding of ManLAM and whole mycobacteria induces production of proinflammatory cytokines through activation of Syk and the kinase Raf1 (Tanne et al., \u2212/\u2212 mice in tuberculosis, although it appears to be essential for anti-mycobacterial resistance only during the early innate phase of infection.The human C-type lectin DC-SIGN has received considerable attention in the mycobacterial immunity field when it was discovered that binding of mycobacterial Man-LAM to DC-SIGN on human macrophages down-regulates costimulatory molecules and inflammatory responses, presumably Given the large number of CLR that can be expressed in myeloid cells, additional players must be expected to contribute to recognition of mycobacterial ligands and to macrophage activation and anti-mycobacterial defense via Card9-dependent mechanisms. Another interesting candidate to look at is Dectin-2; of note a Dectin-2-Fc fusion protein binds to the surface of mycobacteria (McGreal et al., The author declares that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "XMRV is a gammaretrovirus associated in some studies with human prostate cancer and chronic fatigue syndrome. Central to the hypothesis of XMRV as a human pathogen is the description of integration sites in DNA from prostate tumour tissues. Here we demonstrate that 2 of 14 patient-derived sites are identical to sites cloned in the same laboratory from experimentally infected DU145 cells. Identical integration sites have never previously been described in any retrovirus infection. We propose that the patient-derived sites are the result of PCR contamination. This observation further undermines the notion that XMRV is a genuine human pathogen. XMRV was originally described in 2006 in the tumour tissue of patients with a familial form of prostate cancer associated with mutations that impair the function of the antiviral defence protein RNase L . Three iin situ-hybridisation and serological studies have also been inconsistent in their findings. Some studies [EU981808 and GenBank: EU981810], obtained from two different patients, were identical to XMRV integration sites [GenBank: GU816103 and GenBank: EU981678] respectively, which were cloned from the experimentally infected human tumour cell line, DU145 [The only research group describing patient-derived XMRV integration sites provides sequence data from 14 XMRV integration sites cloned from the prostatic tumour tissues of 9 patients [GenBank: U981813] ,8. Nuclein vivo and an experimentally infected cell line in vitro, on two separate occasions.Current knowledge based on the analysis of several thousand retroviral integration sites suggests that target site selection is not primarily sequence-specific, although different classes of retrovirus exhibit distinct genome location biases . HIV-1 fWe consider PCR based contamination to be the most likely explanation for the identification of identical integration sites from the patients' prostate tumour tissues and from the DU145 cells experimentally infected with XMRV. It is noteworthy that the prostate tumour tissue sites and the DU145 cell sites were cloned by the same research group in the same laboratories -9 and thWhilst it is conceivable that the other 12 integration sites apparently derived from prostatic tumour tissues ,8 are geCFS: chronic fatigue syndrome; FISH: fluorescence in situ hybridization; HIV-1: human immunodeficiency virus type 1; HPLC: high performance liquid chromatography; LTR: long terminal repeat; MLV: murine leukaemia virus; PCR: polymerase chain reaction; XMRV: Xenotropic murine leukaemia virus-related virus.The authors declare that they have no competing interests.JAG conceived the study and performed the research. JAG, GJT and PK interpreted the data and wrote the paper. All authors read and approved the final manuscript."}
+{"text": "To explore the molecular function of Osteopontin (OPN) in the pathogenesis of human OA, we compared the expression levels of OPN in synovial fluid with clinical parameters such as arthroscopic observation of cartilage damage and joint pain after joint injury.Synovial fluid was obtained from patients who underwent anterior cruciate ligament (ACL) reconstruction surgery from 2009 through 2011 in our university hospital. The amounts of intact OPN (OPN Full) and it\u2019s N-terminal fragment in synovial fluid from each patient were quantified by ELISA and compared with clinical parameters such as severity of articular cartilage damage (TMDU cartilage score) and severity of joint pain .Within a month after ACL rupture, both OPN Full and N-half levels in patient synovial fluid were positively correlated with the severity of joint pain. In contrast, patients with ACL injuries greater than one month ago felt less pain if they had higher amounts of OPN N-half in synovial fluid. OPN Full levels were positively correlated with articular cartilage damage in lateral tibial plateau.Our data suggest that OPN Full and N-half have distinct functions in articular cartilage homeostasis and in human joint pain. Osteoarthritis (OA) is a group of diseases and mechanical abnormalities involving degradation of articular cartilage and subchondral bone. Clinical manifestations of OA may include joint pain, tenderness, stiffness, creaking, locking of joints, and local inflammation Currently, the major therapeutic strategy for OA is based on conservative treatments, such as muscle exercise with medications, to relieve joint inflammation and pain OPN is an O-glycosylated phosphoprotein produced by a variety of tissues and cells including osteoblasts, chondrocytes, synoviocytes, and T cells Since OPN contains cryptic binding sequences for several different receptors, fragmented OPN proteins are considered to have different functions in distinct pathological conditions Studies utilizing OPN knockout mice have reported that aging-associated and instability-induced OA were accelerated in the absence of OPN Since OPN is considered as a proinflammatory cytokine, we hypothesized that OPN levels in the synovial fluid were correlated with joint inflammation and pain. In this study, to examine our hypothesis and to further explore the distinct roles of OPN Full and N-half in joint homeostasis, we analyzed OPN Full and N-half levels in synovial fluid after joint injury and performed correlation analyses with various clinical parameters. Here we report that OPN Full and OPN N-half levels are associated with the severity of joint pain and articular cartilage damage in humans. We consider the two most important subjects in OA research to be the elucidation of the mechanism of joint pain and the mechanism of articular cartilage degradation in humans, both of which are quite difficult to answer using animal models.This study was approved by the Ethics Committee of Tokyo Medical and Dental University. All patients included in this study gave their full written, informed consent for participation prior to the operative procedure. For minors/children, we obtained informed written consent from their parents or guardians. In this study, we regarded ACL reconstruction patients as a high risk OA group as it was reported that more than 30% of ACL reconstruction patients develop radiographic OA on an average of 7.8 years after surgery, with most patients having no evidence of OA at the time of rupture Since OPN is shown to process by thrombin in an inflammatory environment The severity of articular cartilage damage was scored during ACL reconstruction surgery according to the classification protocol described by Asano et al with modification VAS was collected in the examination room before consultation (one day before ACL reconstruction surgery). Lysholm scores were collected by expert joint surgeons in our university hospital during consultation. Details are shown in P<0.05 were considered significant.All the analyses were performed by a double-blind method. Mann-Whitney\u2019s U-test or Kruskal\u2013Wallis test followed by Steel\u2013Dwass multiple comparison tests were employed to analyze the differences between groups. Pearson\u2019s correlation coefficient test was employed for correlation analyses. Values of As shown in Matsui et al reported that the development of aging-associated and instability-induced osteoarthritis was accelerated in OPN deficient mice Since local inflammation is considered to be a major contributor for joint pain, we next examined if synovial fluid OPN levels are correlated with the severity of systemic and local inflammation. As shown in OPN is a phosphorylated acidic glycoprotein with diverse functions including cell adhesion, chemoattraction, immunomodulation, and cell differentiation In the present study we demonstrated that kinetics of OPN Full and N-half levels were different in synovial fluid. Both OPN Full and N-half levels surged almost 10-fold by 4 days after ACL reconstruction surgery. This result is comparable with previous reports indicating that OPN is an early response gene against various stress signals With regard to the correlation of OPN levels and articular cartilage damage, we found that OPN Full levels are positively correlated with the severity of articular cartilage damage in lateral tibial plateau . LateralThe most interesting finding of this study was the correlation of OPN levels with the severity of joint pain. We observed that OPN Full and N-half levels are positively correlated with the severity of joint pain in patients who suffered from ACL rupture within 1 month. Since OPN functions as a proinflammatory cytokine and regulates PTGS2 and iNOS expression In summary, we found that OPN levels were correlated with the severity of articular cartilage damage in lateral tibial plateau and joint pain. These results suggest that OPN may be an important target to relieve OA patients from severe joint pain and cartilage degradation.Table S1Classification of arthroscopic observation of articular cartilage damage. Severity of articular cartilage damage was scored according to the protocol described by Asano et al (DOCX)Click here for additional data file.Table S2Visual Analogue Scale (VAS) for pain. VAS was collected using a questionnaire described in the table.(DOCX)Click here for additional data file.Table S3Lysholm score for pain. Lysholm scores were collected in an examination room by expert joint surgeons in our university hospital. Classification of each score was described in the table.(DOCX)Click here for additional data file."}
+{"text": "PLOS Biology reports that if the target gene contains multiple Brachyury-binding sites it will be activated early in development but if it contains only one site it will be activated later. Genes that contain no binding site can still be activated by Brachyury, but only indirectly by an earlier Brachyury-dependent gene product, so later than the directly activated genes. Thus, this study shows how several genes can interpret the presence of a single factor differently to become active at distinct times in development.How does a fertilized egg decode its own genome to eventually develop into a mature animal? Each developing cell must activate a battery of genes in a timely manner and according to the function it will ultimately perform, but how? During development of the notochord\u2014a structure akin to the vertebrate spine\u2014in a simple marine invertebrate, an essential protein called Brachyury binds to specific sites in its target genes. A study just published in One or more specific transcription factors bind the CRMs in a target gene and then recruit and/or activate the basal transcription machinery to transcribe the coding sequence of the gene in a particular cell at a precise time The development of a multicellular animal embryo from a single cell begins upon fertilization of the egg: the resulting zygote divides repeatedly to produce variable amounts of diverse early embryonic cells. These cells will go on to differentiate by activating distinct subsets of genes depending on their positions in the embryo and according to their prospective fates Ciona intestinalis and C.savignyi provide simple model systems for chordate development: their larvae have the typical body-plan of animals with backbones, including a notochord\u2014the precursor of the backbone. The ascidian notochord offers the opportunity to study, in a simple system, how the genomic blueprint directs the behavior of cells that form a specific structure during development. In 64-cell stage embryos, four cells start transcribing Ci-Bra, the gene that encodes the DNA-binding transcription factor Brachyury assays showed direct binding of the endogenous Bra protein to early- and middle-onset CRMs but not to the late-onset CRM in tailbud embryos. Thus, it appears that Bra controls late-onset gene expression indirectly by a \u201crelay\u201d mechanism in which early- and/or middle-onset transcription regulators, such as those recently identified by the Di Gregorio team C. savignyi found only one early- and one middle-onset type CRM containing Bra-binding motifs and these were not systematically or perfectly conserved when compared to those in C. intestinalis. This further indicates that Bra-responsive CRM design is rather flexible and therefore variable even in evolutionarily related species, even though the underlying regulatory code may be conserved. Evolutionary conservation of the enhancer code was demonstrated previously in a comparative analysis of the CRMs controlling expression of the homeobox gene Otx from divergent ascidian species, where CRMs for neural, endodermal, and muscular expression relied on the same motifs in the two species even though the sequences of the CRMs could not be aligned Further investigation of the structural requirements for early-onset activity of notochord CRMs in response to Bra suggested that the observed synergistic effect between Bra-binding sites depends neither on the orientation, distance, or position of the functional sites relative to each other within the CRM, nor on a precise organization with respect to the promoter. Inspection of the non-coding sequences flanking orthologous notochord genes in the related species Caenorhabditis elegans pharynx, where individual sites of high binding affinity for PHA-4 determine early onset of target gene expression How might multiple Bra-binding sites in a notochord CRM determine early onset of gene expression? One explanation is that the cluster of several sites might increase the overall affinity of the CRM for the transcription factor This threshold\u2013response model also implies that the availability of Bra protein is limiting for activation of middle-onset CRMs in early gastrula versus early neurula embryos. The availability of Bra might be determined by its gene expression, control of its accumulation in the nucleus, how its target DNA is packaged in chromatin, and/or competition with other DNA-binding proteins Drosophila melanogaster, where the transcription factor Dorsal controls dorso-ventral patterning. Like the Bra target genes, the sensitive Dorsal target gene sog, which is governed by a multi-site CRM sna and vndbra activation, and whether the temporally distinct onsets of notochord gene expression coincide with successive divisions.The threshold\u2013response model of gene activation has been extensively tested during early development of the fruitfly, Drosophila indicate that transcription factor binding is not necessarily sufficient for transcriptional activation: some sites bind their transcription factors early but activate transcription only later when other factors have bound Drosophila visceral mesoderm development illustrates this idea trans-acting factors, whereas the class that bound bin late contained only bin-binding sequences, suggesting that early bin binding requires cooperation with other DNA-binding factors. Comprehensive ChIP and expression studies further substantiated the notion that combinatorial transcription factor binding determines the spatio-temporal pattern of CRM activity in the fly mesoderm Studies in Drosophila ventral mesoderm, however. Whereas the Drosophila mesoderm is a complex population of transient progenitors with diverse developmental outcomes and proliferative potential, the ascidian notochord cells are fate-restricted at the onset of Ci-Bra expression and become post-mitotic after only two divisions. In other words, ascidian notochord cells undergo terminal differentiation following bra expression. As in C. elegans post-mitotic neurons and male tail tip differentiation Ci-Bra, controls most aspects of notochord differentiation in ascidians. However, additional transcription regulators, such as FoxA and Tbx2/3, govern late notochord gene expression and probably also contribute to regulating early- and middle-onset gene expression The control of ascidian notochord development by Bra might be simpler than that of the Drosophila embryo showed that asynchronous expression of the early determinant sna throughout the mesoderm profoundly affects gastrulation The premise that timely activation of notochord genes is essential for the morphogenesis of this structure remains to be tested functionally. Recent work on the early"}
+{"text": "Monotremes (echidna and platypus) are egg-laying mammals. One of their most unique characteristic is that males have venom/crural glands that are seasonally active. Male platypuses produce venom during the breeding season, delivered via spurs, to aid in competition against other males. Echidnas are not able to erect their spurs, but a milky secretion is produced by the gland during the breeding season. The function and molecular composition of echidna venom is as yet unknown. Hence, we compared the deeply sequenced transcriptome of an in-season echidna crural gland to that of a platypus and searched for putative venom genes to provide clues into the function of echidna venom and the evolutionary history of monotreme venom. We found that the echidna venom gland transcriptome was markedly different from the platypus with no correlation between the top 50 most highly expressed genes. Four peptides found in the venom of the platypus were detected in the echidna transcriptome. However, these genes were not highly expressed in echidna, suggesting that they are the remnants of the evolutionary history of the ancestral venom gland. Gene ontology terms associated with the top 100 most highly expressed genes in echidna, showed functional terms associated with steroidal and fatty acid production, suggesting that echidna \u201cvenom\u201d may play a role in scent communication during the breeding season. The loss of the ability to erect the spur and other unknown evolutionary forces acting in the echidna lineage resulted in the gradual decay of venom components and the evolution of a new role for the crural gland. Ornithorhynchus anatinus), the short-beaked echidna (Tachyglossus aculeatus) (shown in Zaglossus sp). It has been long recognised that male platypuses have spurs on their hind legs that are connected to venom glands by venom ducts. The venom glands increase in size during the breeding season Monotremes are egg-laying mammals and include the platypus , mesencephalic astrocyte-derived neurotrophic factor (MANF) and a ribosomal protein (RPL9). The most highly expressed genes in the echidna venom gland are shown in To provide insight into the function of echidna venom, we examine the most highly expressed genes in the echidna venom gland. Quantification of expression levels involved the counting of raw reads that map to assembled scaffolds. The numbers were normalized with respect to the length of the scaffolds. This method allowed us to examine the most highly expressed genes and allowed comparison with similar experiments in platypus. None of the top 50 most highly expressed echidna genes were found in the top 50 of platypus. Similar results were obtained when human protein-coding transcripts instead of platypus ones were used to assemble the contigs. Comparison of the top 200 most abundant transcripts from the two datasets identified three proteins common to both echidna and platypus glands: a mitochondrial phosphate carrier protein (We compared gene ontology (GO) enrichment statistics between the expressed genes (RPKM>10) in the echidna and platypus datasets to examine and infer biological differences between the two species by restricting the analysis to the top 200 most highly expressed genes in both datasets. 182 out of the top 200 echidna genes were associated with 1,537 GO annotations that represented 580 unique terms. Compared to the platypus dataset, we detected five significantly enriched GO terms that included adenyl ribonucleotide binding, adenyl nucleotide binding, ATP binding, post-translational modification and plasma membrane .We also performed functional term analyses on the top 200 most highly expressed genes in both echidna and platypus datasets. No gene ontology terms were found to be significant at p<0.05 after multiple testing correction (FDR) in independent tests for each species.These analyses confirm that the key role of the echidna crural gland is not venom production. The life history of echidnas may point to the likely functional role of this gland. Echidnas are usually solitary, but during the breeding season (June to September) they are believed to use chemical cues to attract mates et al. SCD) \u2013 a protein involved in fatty acid biosynthesis was highly expressed in the echidna transcriptome. Other proteins involved in fatty acid metabolism including acyl-CoA dehydrogenase (ACADVL), acetyl-CoA carboxylase beta (ACACB), acyl-CoA synthetase long-chain family member 1 (ACSL1) as well as lecithin-cholesterol acetyltransferase (LCAT), sortilin-related receptor, L(DLR class) Repeats-containing protein (SORL1) and the Niemann-Pick disease protein (NPC1) are also all involved in sterol metabolic processes and expressed in the echidna crural gland transcriptome. Similar sterols and fatty acids are commonly found in scent gland secretions from other animals and can function to prolong the life of a scent mark (sterol esters) and encode complex informational content (long-chain fatty acids) (reviewed in The recent study by Harris The major components of secretory granules in echidna crural glands are proteins Our results suggest that the primary role of the echidna crural gland is not to produce venom for offensive or defensive purposes. The majority of known platypus toxins were not detected in the transcriptome of the echidna crural gland. 30 echidna scaffolds matched 12 known toxins from a number of venomous species, but these were only lowly expressed in the gland and perhaps provide a remnant of the glands life history. Today the transcriptomes of the echidna and platypus crural glands have distinct expression profiles sharing few similarities in their most highly expressed genes. Should the echidna genome become available a review of the evolutionary remnants of venom genes can be conducted. The echidna gland appears to have evolved to play a role in chemical communication during the breeding season. Although the function of the crural gland has diverged significantly since the last common monotreme ancestor, each lineage continues to use the gland to aid reproduction."}
+{"text": "In Phase II oncology trials, targeted therapies are being constantly evaluated for their efficacy in specific populations of interest. Such trials require designs that allow for stratification based on the participants' biomarker signature. One of the disadvantages of a targeted design (defined as enrichment in biomarker-positive sub-population) is that if the drug has at least some activity in the biomarker-negative subjects, then their effect in the biomarker-negative population may never be known.Jones and Holmgren (JH) have proposed a design to determine whether drug has activity only in target population or the general population. Their design is an enrichment adaptation based on two parallel Simon two-stage designs. Unfortunately, there are several pitfalls in the JH design: the issue of hypothesis testing is not properly addressed and the type I error, power calculations and expected sample size formulae are wrong too.We study the JH design in detail, appropriately control the type I and type II error probabilities that yield novel optimal designs. We also discuss various alternative Family Wise Error Rates (FWER) and the Individual Hypothesis (IH) error rates in the weak sense as well as the strong sense.For each option of the error controls, we search for designs over a 10 trillion search space and obtain optimal designs that minimise the expected sample size. For the particular example trial that JH consider, our optimal design requires 38% fewer subjects in comparison with the two parallel Simon two-stage design thereby offering substantial efficiency in terms of the expected sample size. In conclusion, our rectified design provides a robust framework for adaptive enrichment in biomarker-stratified Phase II trial design."}
+{"text": "The coherence function of integrate-and-fire neurons shows low-pass properties in the most diverse firing regimes . While tNumerical calculation of the mutual information rate is now a commonly adopted practice, but it does not indicate what aspects of the stimulus are best represented by the neuronal response. We developed a numerical procedure to directly calculate a frequency-selective version of the mutual information rate. This can be used to study how different frequency components of a Gaussian stimulus are encoded in neural models without invoking a weak-signal paradigm."}
+{"text": "Quercus species co-occurring in the forests of southern Spain. For this purpose, we considered not only the quantity of dispersed seeds but also the quality of the seed dispersal process. The suitability for recruitment of the microhabitats where the seeds were deposited was evaluated in a multi-stage demographic approach. The highest rates of seed handling and predation occurred in those microhabitats located under shrubs, mostly due to the foraging activity of rodents. However, the probability of a seed being successfully cached was higher in microhabitats located beneath a tree canopy as a result of the feeding behaviour of beetles. Rodents and beetles showed remarkable differences in their effectiveness as local acorn dispersers. Quantitatively, rodents were much more important than beetles because they dispersed the vast majority of acorns. However, they were qualitatively less effective because they consumed a high proportion of them (over 95%), and seeds were mostly dispersed under shrubs, a less suitable microhabitat for short-term recruitment of the two oak species. Our findings demonstrate that certain species of dung beetles (such as Thorectes lusitanicus), despite being quantitatively less important than rodents, can act as effective local seed dispersers of Mediterranean oak species. Changes in the abundance of beetle populations could thus have profound implications for oak recruitment and community dynamics.The process of seed dispersal of many animal-dispersed plants is frequently mediated by a small set of biotic agents. However, the contribution that each of these dispersers makes to the overall recruitment may differ largely, with important ecological and management implications for the population viability and dynamics of the species implied in these interactions. In this paper, we compared the relative contribution of two local guilds of scatter-hoarding animals with contrasting metabolic requirements and foraging behaviours (rodents and dung beetles) to the overall recruitment of two Plant-animal interactions are key components in the regeneration process of many plant species with strong implications for population viability and community dynamics Recent studies have shown that both the quantity and the quality of seed dispersal are highly context-dependent, highlighting habitat structure as one of the main drivers of the spatiotemporal variation in SDE Apodemus, Mus, Sciurus, etc.) are broadly considered the main guilds of seed dispersers worldwide In most cases, the seed dispersal of animal-dispersed plants is due to a small set of biotic agents In this paper, we compared for the first time the relative contribution of two local guilds of scatter-hoarding animals (rodents and dung beetles) with contrasting foraging behaviours and metabolic requirements to the overall short-term recruitment of two oak species co-occurring in the forests of southern Spain. Despite the unquestioned role of jays for oak regeneration at large distances et al.We used a multi-stage demographic approach and followed the framework described by Schupp All necessary permits were obtained for the field studies described herein thanks to J. Manuel Fornell Fern\u00e1ndez, Director of Los Alcornocales Natural Park.Quercus suber) forests mixed with winter-deciduous oaks (Q. canariensis), which are more abundant near streams 2.The study was conducted in La Sauceda forest , located in the mixed-oak forests of the Aljibe Mountains in southern Spain. The climate is subhumid Mediterranean, with mild and wet winters alternating with hot and dry summers. Annual mean temperature ranges from 14.6 to 18.4\u00b0C (mean of 17\u00b0C). Annual mean rainfall varies from 900 to 1800 mm (mean of 1265 mm). Vegetation is dominated by evergreen cork oak is a flightless, medium-sized species of dung beetle (mean dry body weight of 130\u2013175 mg specimen), endemic to the southern Iberian Peninsula Cervus elaphus, roe deer Capreolus capreolus and free-ranging cattle are abundant in these forests and could act as potential acorn predators.The two dominant oak species show a strong inter-annual variability in seed production Q. suber and Q. canariensis in the study area from several trees (at least ten of each species) to encompass intra-specific variation. We selected healthy medium-sized acorns, discarding those infested by moth or beetle larvae through flotation Q. suber and 5.81\u00b11.52 g for Q. canariensis. Acorns of known weight were further distributed in 54 experimental units (a minimum distance of 25 m relative to one another) and equally separated into three types of microhabitat, which spanned a wide gradient of plant cover and light availability: (i) inside dense shrub and tree overstory; (ii) under oak trees without shrub understory; and (iii) open microsites. In general, these three types of microhabitats appear intermingled in the understory forming a mosaic of different microsites separated among them by similar distances. Open areas tend to suffer events of sporadic soil waterlogging during the wet period due to less interception of rain by the canopy and, in most cases, a higher proportion of clay Pistacia lentiscus, Phillyrea latifolia, Viburnum tinus, Erica arborea and Erica scoparia.We collected acorns of 2 mesh that allowed the entrance of only rodents and beetles. In mid-autumn (November of 2009 and 2010), coinciding with the onset of the acorn-crop, we intermixed each group of 30 acorns and distributed them inside each cage in five equidistant lines of six acorns (three per oak species). We periodically checked all the experimental acorns during a whole reproductive-cycle (from December to October-November of the next year). To avoid interference with beetle foraging during the process of acorn consumption, we visited each of the five lines of six acorns once at different dates. The first line of acorns was checked 10\u201314 days after starting the experiment, coinciding with the peak of maximum beetle activity in situ), noting when possible the identity of the dispersal agent (rodent or beetle). The acorns consumed in situ by rodents were easily identified by signs of gnawing, whereas those handled by beetles usually showed a circular (beetle-sized) hole in the coat. When we did not locate an experimental acorn in its original site, we dug 10\u201315 cm deep within a circle 50 cm in radius to verify evidence of handling by the dung beetle Thorectes lusitanicus. When a buried acorn was found intact, it was assigned to T. lusitanicus handling only when a beetle was also buried together with it.To explore spatiotemporal patterns of seed handling by local dispersers, we individually numbered with a permanent maker groups of 30 acorns (15 per oak species) and randomly placed them on the forest floor in each of the 54 above-mentioned experimental units (18 in each type of microhabitat). Acorns were protected from birds and large herbivores in each experimental unit by wire cages (80\u00d780\u00d725 cm) with 4-cm2 quadrat. These acorns were individually weighed and attached to a metal wire (10 cm long by 0.6 mm wide) by drilling a hole with a needle. We marked both the metal wires and the corners of the quadrats with numbered coloured flags for monitoring acorn fates. We used this method of seed tracking to avoid the interference of cages with the process of seed dispersal. In mid-autumn (November 2009 and 2010), we randomly distributed 54 additional groups of ten acorns (five per oak species) along the same above-mentioned experimental units to determine acorn fate (seed status and microhabitat destination). In each experimental unit, we placed five acorns (without cupule) per species on the ground, four in the corners and one in the centre of a 0.5-min situ. We searched outwards for the removed acorns in the experimental units in expanding circles to a maximum distance of 30 m. We considered an acorn to be dispersed when it was moved horizontally and/or vertically from its original point by rodents or beetles. To characterise spatial patterns of seed dispersal and caching, we recorded the distance from the experimental unit and the type of microhabitat where the acorn was dispersed . We also noted whether the relocated acorn remained potentially viable or not . Those removed acorns that were not further relocated could not be assigned to any of these two categories and were excluded from statistical analyses. Although we detected some evidence of seed re-dispersal over the sampling periods, we only considered the final fate of experimental acorns for statistical analyses due to its higher relevance for recruitment.We periodically visited (at the same censuses specified above) all the experimental acorns and also classified them as intact, removed, or consumed We repeated the experiments of seed handling and seed deposition during two consecutive sampling years (2009/2010 and 2010/2011), making a total of 4320 experimental acorns (2160 per oak species) that were individually monitored to explore the spatiotemporal patterns of seed handling and dispersal.Microhabitat suitability for seedling recruitment was previously assessed by conducting a parallel seed-sowing experiment at the same study site where seed handling and dispersal were evaluated. In December 2003, we randomly placed a total of 1200 acorns (600 per oak species) across 60 experimental units evenly distributed along the same previously mentioned three types of microhabitats. We sowed ten acorns per species in each experimental unit at 1\u20133 cm depth, simulating biotic seed dispersal and burial by European jays versus handled (including both consumed in situ and removed acorns). We assumed a logit link function between this binomial dependent variable and two independent variables (oak species and microhabitat of origin). This analysis was applied separately for the five censuses carried out in each of the two sampling years.We first studied seed handling patterns for rodents and dung beetles using Generalized Linear Models GLMs; and clasQ. suber or Q. canariensis) and the three microhabitats of origin . Seed mass was also included in the analyses as a continuous co-variable. The microhabitat distribution of dispersed acorns was also studied using GLMM. In this case, the dependent variable was treated as a multinomial with three categories , using the same explanatory factors described in the previous analyses. Seed dispersal distance (log-transformed) was fitted to a normal distribution and, therefore, the effects of the above-described factors were evaluated using Linear Mixed Models (LMM). In all these analyses, the experimental unit was included as a random factor.Second, we examined seed viability in the experiments on seed deposition and caching using Generalized Linear Mixed Models (GLMM). The dependent variable was fitted to a multinomial distribution with four categories depending on the combination of the dispersal agent (rodents or beetles) and the final seed status (preyed versus undamaged). The explanatory variables in this case were the two sampling years (2009/2010 or 2010/2011), the oak species . The remaining analyses were carried out using Statistica .Quercus grouping the two studied oak species.Seed dispersal effectiveness (SDE) was calculated for each of the two scatter-hoarding animals considered in this study (rodents and beetles) as the proportion of seeds dispersed by each dispersal agent multiplied by the probability that a dispersed seed becomes established as a third-year seedling (see a recent review Thorectes lusitanicus), with the highest rates of handled seeds during the first census . Of these handled acorns, animals removed more than 85% and consumed the rest Q. suber acorns, as indicated by the significant effect of this factor in the fitted model only depended on the microhabitat of origin . Thus, tFinally, seed mass did not affect any of the aspects related to the process of seed dispersal that were considered in this study and S3.We found significant differences among microhabitats for each of the stage-specific probabilities of recruitment considered in this study. Seed germination and seedling emergence were much lower in open sites than in the other two types of microhabitats showed remarkable differences in seed dispersal effectiveness (SDE) due to large variations in the quantitative and qualitative components of SDE. Rodents dispersed a large percentage of acorns of the two oak species, especially under shrubs. However, they consumed more than 95% of these dispersed acorns and only cached a very low proportion of them without signs of embryo damage, resulting in a very low quality of dispersal . In contQuercus species Quercus species. This fact likely mitigated the inter-specific differences in seed removal promoted by variations in seed mass that were previously detected in the study area Thorectes lusitanicus) only contributed to a low proportion of acorn dispersal, but with potential repercussions for recruitment and population dynamics for the two study oak species.Scatter-hoarding animals (mainly rodents and dung beetles) handled a very large proportion of experimental acorns in the study area (over 98%). This emphasises the seed\u2013seedling transition as a crucial step for the regeneration process of the two oak species studied, as was previously documented for other Mediterranean Spatial patterns of seed dispersal and seedling recruitment were largely explained by the heterogeneity of the forest habitat structure. The microhabitat type where a seed was placed affected both the quantitative component and the two qualitative subcomponents (seed viability and seed deposition) of seed dispersal effectiveness (SDE).T. lusitanicus are more abundant in closed microhabitats compared with open sites The microhabitat of origin strongly determined the quantity of seeds handled and predated by scatter-hoarding animals, highlighting the relevance of habitat structure as mediator of plant-animal interactions in heterogeneous environments Quercus species , likely due to their lower metabolic requirements compared with rodents. Although beetles only displaced acorns a few centimetres around the original point, they buried nearly all the handled acorns into the soil at a depth (10 cm maximum) compatible with seedling establishment. This type of vertical dispersal could have significant benefits for oak recruitment because burial avoids seed desiccation, stimulates germination and reduces pilferage risk by other seed predators Rodents and beetles showed remarkable differences in their effectiveness as local acorn dispersers as a consequence of their distinct foraging behaviours and metabolic requirements. Quantitatively, rodents were much more important than beetles because they dispersed the vast majority of acorns. However, they were qualitatively less effective than beetles for two main reasons. First, they consumed most of the dispersed acorns (over 95%), a common feature of disperser assemblages where the main dispersal agents are also major seed consumers Therefore, the quality of dispersal was the component that better explained the SDE of scatter-hoarding animals in the Mediterranean oak forests studied and was inversely related to the quantitative component. These results are in accordance with a recent study on a Mediterranean fleshy-fruited species x-axis could result in large increases in the SDE provided by these high-quality dispersers will be most likely less marked Table S1Results from the Generalized Linear Mixed Models testing the different factors affecting the microhabitat destination of acorns dispersed by rodents. Seed mass was included in the analysis as a counting covariable. Experimental unit was considered as a random factor. The dependent variable was fitted to a multinomial distribution with three possible categories . Significant factors are highlighted with bold letters.(TIF)Click here for additional data file.Table S2Results from the Linear Mixed Models evaluating the factors affecting the dispersal distance (log-transformed) of those experimental acorns dispersed by rodents. Seed mass was included in the analysis as a counting covariable. Experimental unit was considered as a random factor. Significant factors are highlighted with bold letters.(TIF)Click here for additional data file.Table S3Results from the Generalized Linear Models analysing the effect of different factors on the final status of experimental acorns . Seed mass was included in the analysis as a counting covariable. Experimental unit was considered as a random factor. The dependent variable was fitted to a multinomial distribution with four possible categories depending on the combination of dispersal agent (rodents or beetles) and the final seed status (preyed upon versus successfully cached). Significant factors are highlighted with bold letters.(TIF)Click here for additional data file."}
+{"text": "G protein-coupled receptors (GPCRs) are a major family of membrane receptors in eukaryotic cells and play a crucial role in various biological processes. They represent a family of protein targets with significant therapeutic value, and accordingly more than 30% of prescription drugs are GPCR ligands .Extending previous attempts to map the pharmacological space solely based on ligand chemical similarity,,3 we in The results of the study aim to contribute to a better understanding of the overlap of GPCRs in chemical space, and to the cross-reactivity observed even among distant biological targets, as defined by their sequence similarities . Releva"}
+{"text": "Three-fold accelerated cine-MRI followed by Compressed Sensing reconstruction has been shown to provide accurate measurement of cardiac functional parameters in normal and chronically infarcted mouse hearts. This study demonstrates that infarct size can also be accurately quantified from the three-fold undersampled cine-data.Compressed Sensing (CS) is becoming more common as an alternative means to speed up the inherently time-consuming data acquisition process in Magnetic Resonance Imaging (MRI). More specifically, global cardiac function (cine) MRI combined with CS has been demonstrated to provide a three-fold reduction in scan time in normal mice and in a murine model of chronic myocardial infarction without compromising the accuracy of cardiac functional parameters . However, this study did not validate the measurement of infarct size, an important parameter that is also obtained from these data and does not require the administration of exogenous contrast agents. We therefore sought to investigate whether or not three-fold undersampled and CS-reconstructed cine-images allow for an accurate determination of infarct size.Mice with permanent ligation of the left coronary artery were scanned on a preclinical 9.4 T MR system with a standard cine-MRI protocol 8 weeks post surgery. The fully acquired cine-data sets were retrospectively undersampled by a factor of three and subjected to the CS reconstruction described in Wech et al (JMRI 2011). Using the method proposed by Takagawa et al (J Appl Physiol 2007), infarct size was subsequently measured in fully and undersampled data by an operator, who was blinded to animal ID and acquisition/reconstruction schemes.Figure Our retrospective analysis demonstrates that an undersampling factor of three does indeed allow for an accurate determination of infarct size. Work is in progress to validate this approach further using a wider range of infarct sizes.This work was funded by the British Heart Foundation and the Elite Network of Bavaria."}
+{"text": "Identification and classification of cancer types and subtypes is a major issue in current cancer research. Whole genome expression profiling of cancer tissues is often the basis for such subtype classifications of tumors and different signatures for individual cancer types have been described. However, the search for best performing discriminatory gene-expression signatures covering more than one cancer type remains a relevant topic in cancer research as such a signature would help understanding the common changes in signaling networks in these disease types. In this work, we explore the idea of a top down approach for sample stratification based on a module-based network of cancer relevant signaling pathways. For assembly of this network, we consider several of the most established cancer pathways. We evaluate our sample stratification approach using expression data of human breast and ovarian cancer signatures. We show that our approach performs equally well to previously reported methods besides providing the advantage to classify different cancer types. Furthermore, it allows to identify common changes in network module activity of those cancer samples. Deregulation of growth regulating signaling pathways contributes to an extensive alteration of cellular physiology and confers excessive proliferation properties to cancer cells that tend to assign core components as well as components with more general modifying function to the same pathway. The nine major cancer-related signaling pathways that we assembled into a module-based network consist of 719 edges and 592 nodes covering 558 genes , which is, among other functions, a proteolytic activator of PDGFC . Clustering the network module activity of these samples results in separation of one main-cluster containing a mixed population of high and low grade, ER-negative or positive but predominantly HER2-negative samples from all other samples constituting the heterogeneous second main cluster on the right hand side Figure A. This ss Figure E. Similad Figure F. We cond Figure G. For thd Figure H. Taken In the next step of our analysis we wanted to test whether our network-based stratification approach might also be applicable to another cancer type and we therefore performed hierarchical clustering of ovarian cancer samples of a large patient cohort that is well annotated with regard to clinical parameters as provided by Tothill et al. . HierarcINSR-RTK, PDGFR-CoActivator, and PDGF-RTK modules as well as the AP1 and MAPK-Inhibitor modules were identified among the top differentially activated modules. Here, INSR-RTK, AP1, and MAPK-Inhibitor module activities appears to be higher, while PDGFR-RTK and PDGFR-CoActivator module activities as well as PDGFR- and INSR-ADAPTOR modules appear lower activated in LMP versus all other samples.Several network modules appear to show differential activity in the LMP- and co-clustering high grade samples versus all other samples Figure A. Again INSR-RTK, PDGFR-CoActivator, and PDGF-RTK modules as well as the AP1, MAPK-Inhibitor modules show differential activity between LMP and all others samples, a finding that is highly similar to the situation found in the Tothill et al. and the linear Pearson correlation measures for sample clustering. The Pearson correlation measure lead to a significant sample clustering in case of ER-grade for breast cancer and tumor stage for ovarian cancer, respectively. Currently, we cannot exclude that alternative unsupervised clustering algorithms or correlation measures might lead to more significant findings for additional clinical parameters in the analyzed data sets and further work is needed to test this hypothesis. Furthermore, for assembly of our network, we considered several of the most established cancer pathways, while leaving out other signaling pathways even if they might be of relevance for a distinct group of cancer types or their general contribution to cancer development has yet to be established more firmly. Also, our network, in its current state, does not consider other cellular processes coupled to signaling events such as the DNA damage response or the core cell cycle regulating machinery which are known to be frequently deregulated in cancer to downstream transcription factor modules including MYC, AP1, GLI, and NICD transcription factors. To compare the composition of ERBB and MAPK pathway modules described in our network to previous pathway annotations we consulted the KEGG , and MSigDB databases . We normalized the individual raw data using the quantile normalization method. We selected only those samples for analysis that are annotated with respect to all individual clinical markers. We then extracted the normalized expression values of all genes contributing to the network modules from those data for further analysis. We assume that a similar cellular phenotype and clinical representation of the analyzed samples might arise not only from deregulation of the exact same gene within a module at the same hierarchical step within the network but also from: (i) deregulation of normally co-expressed and functionally interchangeable proteins within the same network module and/or (ii) deregulation of the same pathway on different levels within the network hierarchy potentially involving CoActivators/CoInhibitor regulatory modules. After determining gene-expression values for all the genes of all modules a \u201cnetwork module activity\u201d was calculated for each module as the median value of all the gene-expression values of the given module. We then tested the feasibility of using these network module activity values to distinguish cancer subtypes within the two distinct breast and ovarian cancer patient cohorts in comparison to all genes in the network (network genes) and previously published discriminatory gene sets as described in detail in the main text.To determine differential module activation between selected sample subclusters we calculated the average of the network module activity for the subcluster of interest and all other samples individually and then computed the differences in average module activity between these sub-groups. To compare the differential activation of network module activity between two data sets we calculated the difference of average network module activity of clusters of interest in each of the data sets individually and then calculated the absolute values of the differences. We then determined the top 15% of differences for each data set individually and selected for further analysis those pathways modules that showed the same trend for higher or lower network module activity within both data sets.k-means clustering as an unsupervised classification method on all patient samples. We tested Spearman and Pearson correlation measures for k-means clustering and found that with regard to the ER-status, the Pearson correlation resulted in sample clustering with more significant p-values. Therefore, we decided to keep Pearson correlation rather than Spearman correlation for further analysis. In addition to the network module activity value, we used the normalized expression values of all network genes or those genes representing known discriminative gene signatures for hierarchical and k-means-based clustering. We determined the optimal number of expected clusters independently of the data labels given by the data sets and found that a cluster number of two is optimal for all four data sets (data not shown). For this cluster stability analysis we used the clValid tool (Brock et al., k-means clusterings we assigned each clustering the p-value from a chi-square test using the respective known annotations. It is therefore possible to compare the quality of the clustering results.We subjected the standardized median network module activity values for complete linkage hierarchical clustering of the patient samples using Pearson correlation as the distance measure. The heatmap-like representation in the hierarchical clustering is achieved through standardization of the data over all samples resulting in a mean gene vector of zero and a standard deviation of one; red and green labels were assigned to values with a higher and lower expression than the mean, respectively. Furthermore, we applied The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest.http://www.frontiersin.org/Systems_Biology/10.3389/fphys.2013.00124/abstractThe Supplementary Material for this article can be found online at Click here for additional data file."}
+{"text": "Traumatic brain injury often leads to epileptic seizures. Among other factors, homeostatic synaptic plasticity (HSP) mediates posttraumatic epileptogenesis through unbalanced synaptic scaling, partially compensating for the trauma-incurred loss of neural excitability. HSP is mediated in part by tumor necrosis factor alpha (TNF\u03b1), which is released locally from reactive astrocytes early after trauma in response to chronic neuronal inactivity. During this early period, TNF\u03b1 is likely to be constrained to its glial sources; however, the contribution of glia-mediated spatially localized HSP to post-traumatic epileptogenesis remains poorly understood. We used computational model to investigate the reorganization of collective neural activity early after trauma. Trauma and synaptic scaling transformed asynchronous spiking into paroxysmal discharges. The rate of paroxysms could be reduced by functional segregation of synaptic input into astrocytic microdomains. Thus, we propose that trauma-triggered reactive gliosis could exert both beneficial and deleterious effects on neural activity. Homeostatic plasticity refers to the ability of neurons and neuronal circuitry to adjust their properties in order to maintain physiologically relevant electrical activity notwithstanding perturbations in synaptic input. Synaptic input is often chronically reduced immediately following brain trauma, and previous studies had suggested that homeostatic synaptic plasticity can aid in the dynamical transition of the traumatized network toward epileptic seizures, a condition known as \u201cpost-traumatic epilepsy\u201d. This form of homeostatic plasticity is mediated by glial cells which release regulatory molecules shortly after trauma. In this study we used computational modeling to investigate the mechanisms and the implications of glial mediated plasticity early after trauma. We show that astrocytes exert both beneficial and deleterious effects on post-traumatic reorganization of neural activity. This suggests that, in the dysfunctional neuronal network, some aspects of glial-neuronal signaling could alleviate the dynamical transition to pathological activity. Post-traumatic epilepsy develops in some but not all head injury cases, depending on the severity of injury and the time elapsed since trauma. Often there is a latent period between the traumatic event and onset of paroxysmal activity Homeostatic synaptic plasticity (HSP) likely operates on several spatial and temporal scales Earlier studies showed that TNF\u03b1 causes a rapid, p55 receptor mediated insertion of neuronal AMPA receptors In our previous studies In the present study, we addressed this question by studying the early effects of TNF\u03b1 mediated HSP hours after trauma. Homeostatic synaptic plasticity restored the average network firing rate to its pre-traumatic level but transformed asynchronous spiking to paroxysmal bursts. Thus, we adopted the rate of paroxysmal burst generation (rather than the network-averaged firing rate) as a measure of network's propensity to exhibit the transition to seizures. Paroxysmal bursts of highly correlated population activity in our model resembled interictal epileptiform discharges (IEDs), which are often considered an important diagnostic feature of epileptic seizures The primary goal of the present study was to explore the impact of spatially localized homeostatic synaptic plasticity (HSP) on the emergence of paroxysmal activity in deafferented post-traumatic cortical network and to identify mechanisms that might operate to suppress this activity in the early post-traumatic window. We have shown previously that the spatial pattern of trauma itself can significantly affect the trauma threshold for paroxysmal burst generation Homeostatic regulation is likely to operate on a localized spatial scale during the early phase of response to trauma, reflecting the local response of glial cells to nearby synaptic activity. Such a change of scale could in principle affect our earlier conclusions regarding the role of trauma pattern in post-traumatic epileptogenesis local HSP model.Here, we assumed that the downregulation of excitatory synaptic conductances in a computational model of a hyperactive pyramidal (PY) neuron was determined by the time-averaged firing rate of the postsynaptic neuron, consistent with postsynaptic synaptic scaling To compare with our previous results focal trauma , and dirk e.g., ). In whaWithin the \u201cearly response\u201d scheme of the HSP based on the activity of presynaptic neurons , the rate of paroxysmal bursts was significantly higher for focal trauma comparedThe difference between the two HSP models was also reflected in the dynamics of the network-averaged firing rate of the PY neurons, shown in The quantitative differences between the two HSP models, as reflected in the dynamics of the network-averaged firing rate of model pyramidal neurons, were discernible also within the scenario of diffuse trauma . HoweverThus, qualitatively, the strongest effect of HSP localization on the post-traumatic reorganization of electrical activity was observed for relatively small volumes of focal trauma. This is consistent with the results in We next explored the intriguing independence of the paroxysmal burst rate on trauma volume in a model with a local HSP rule. Several mechanisms in the new model of homeostatic plasticity could have been responsible for this observation. It could have been a consequence of normalizing the neuronal firing rates, which was implemented by downregulating postsynaptic component of HSP between the burst rate and trauma volume was recovered was clamped at \u223c5 Hz and did not depend on the spatial scale of presynaptic HSP component . Indeed,When the global scale presynaptic scheme was combined with exclusion of the postsynaptic downregulating HSP component, the averaged firing rate of intact PY neurons at the traumatized-intact boundary \u2014 defined as a set of PY neurons located within one synaptic footprint from the boundary deafferented neuron \u2014 displayed strong dependence on the trauma volume parameter , the probability of establishing synaptic contacts inversely depended on the number of potential pre-synaptic partners, as determined by the footprint size, in order to keep the average number of synapses to a given neuron the same, regardless of the footprint size. This allowed us to avoid conflating the effects of footprint size with an increase in synaptic connectivity. As he burst .Because burst nucleation in our model required the activity of a certain fraction of intact neurons to be sufficiently correlated (in order to be able to \u201cignite\u201d their deafferented postsynaptic partners) Another possibility is that a reduced rate of burst generation reflects higher heterogeneity in interconnectedness and synaptic weights for synapses formed among neurons on the boundary between intact and deafferented regions. Indeed, distributions of HSP scaling factors at PY-PY synapses in post-traumatic steady state were chaAssuming that the heterogeneity of synaptic organization at the boundary between traumatized and intact regions is likely to be important in post-traumatic epileptogenesis, we sought to identify the physiological mechanisms that might mediate this effect. Experimental evidence suggests that homeostatic scaling of synaptic conductances might be at least in part mediated by the soluble tumor necrosis factor alpha (TNF\u03b1) that is believed to be released from astrocytes to compensate for low levels of glutamatergic synaptic activity Spatial localization of astrocytic signaling may translate into autonomous regulation of groups of synapses. Since we consider here the early stage of post-traumatic response such autonomous regulation could increase the heterogeneity of synaptic conductances scaled by glia-mediated HSP. Thus, we hypothesized that functional segregation of synaptic inputs into astrocytic microdomains could help alleviate the rate of paroxysmal discharges in our model networks. To test this hypothesis, for each model PY neuron the set of all Several computational models were developed to describe interactions between astrocytes and synapses The averaged intra-burst firing rates of PY and IN model neurons were higher for stronger segregation of synaptic input into microdomains , as wereThe effect of microdomain partitioning in reducing the rate of paroxysmal bursts was further seen by visual inspection of network activity raster plots . This su larger .Segregation of synaptic input into microdomains allows a more independent scaling of the inputs from deafferented and intact neurons and thus enhances the correspondence between the firing rate of a given presynaptic neuron and the resulting homeostatic scaling of its downstream synaptic conductance. As a result, in segregated inputs scenario, synaptic conductance from intact neurons is weaker than synaptic conductance from deafferented neurons . On the Results reported in the previous section suggest that functional segregation of homeostatic synaptic scaling by astrocytes has the potential to alleviate the rate of paroxysmal burst discharges in post-traumatic network albeit the reduction in burst rate is relatively small when only a small number of microdomains is considered. Remarkably however, astrocytes in injured cortex also undergo significant rapid morphological remodeling To model the role of astrocytic morphological reorganization in trauma induced epileptic like activity, we used the microdomains scheme to model the presynaptic component of HSP and further assumed that synaptic input arriving to a specific model PY neuron was subdivided into two microdomains. One microdomain included the synapses exclusively from intact presynaptic neurons, and the other microdomain included synapses exclusively from deafferented presynaptic neurons . We furtIn the focal trauma scenario, the rate of paroxysmal bursts was significantly lower for the scenario of \u201csegregated inputs\u201d (compared to the model with one microdomain), and this difference was observed for a wide range of trauma volumes considered . For comFiring rates of PY neurons varied depending on the neuronal location in the network and the As expected, the reduction in burst rate was paralleled by an increase in the average number of spikes fired per burst , as wellBased on the computational model of deafferentation-induced cortical trauma presented here, we predict that the functionally segregated organization of synaptic input to a neuron could help alleviate the rate of paroxysmal activity in early post-traumatic period (hours to days). The post-traumatic morphological reorganization of astrocytes could further mitigate paroxysmal activity The increased heterogeneity of synaptic organization, reflected in the higher variability of HSP scaling factors at the boundary between intact and traumatized subnetworks , may undIn our previous studies we showed that the pattern of trauma can itself determine the threshold for post-traumatic paroxysmal activity A simple explanation of these simulation results would be as follows: In focal trauma and spatially local HSP rule, neurons at the boundary between intact and deafferented regions get \u223c50% of their synaptic input from other intact neurons and another \u223c50% from deafferented neurons. Because this breakdown does not depend on the trauma volume, and because paroxysmal bursts are generated at the boundary between intact and deafferented regions We showed earlier It is widely recognized that astrocytes assume a critical role in different kinds of epilepsies In our own models of post-traumatic epileptogenesis The main clinically relevant prediction of our model is that a local homeostatic regulation of synaptic activity by astrocytes can lead to distinct network behavior . This prediction can be tested by targeting glial fibrillary acidic protein (GFAP), which is a common biological marker of trauma-induced morphological transformation of astrocytes and is dramatically increased during reactive gliosis. GFAP helps astrocytes to maintain mechanical strength and thus is instrumental in determining the cell shape and spatial distribution of finer astrocytic processes (microdomains) for synaptic regulation. Thus, our model would predict a higher incidence of seizures in trauma models of GFAP knockout animals. A higher incidence of seizures should occur following failure of astrocytic microdomains to reorganize after trauma. Consistent with this prediction, one experimental study reported that hippocampi of GFAP knockout mice exhibited higher sensitivity to kainate-induced seizures The pathological action of homeostatic synaptic plasticity studied here is only one of the several known mechanisms of epileptogenesis. A common, long-recognized, cause of epileptic seizures is impaired clearance of extra-cellular potassium ions Trauma-induced morphological reorganization of astrocytes, as well as their release of cytokines and gliotransmitters, is part of \u201creactive gliosis\u201d, a complex set of processes whereby astrocytes undergo various molecular and morphological changes Management of post-traumatic epilepsy and related convulsive disorders is often done with a variety of anti-epileptic drugs Synaptic activity can be increased or decreased by molecules released from astrocytes and vice versa. In particular, accumulating evidence indicates that endocannabinoids (eCB) might be involved in compensatory mechanisms to offset the effects of trauma Consistent with this emerging evidence, and based on our modeling results, we propose two opposing roles for reactive astrocytes in early post-traumatic epileptogenesis. Specifically, we propose that the release of TNF\u03b1 promotes the generation of paroxysmal bursts, and that a post-traumatic morphological reorganization of astrocytes acts to suppress bursting activity at the expense of less frequent, but more intense, paroxysmal bursts. In this conceptual model the reorganization of astrocytes might be an adaptive step aimed at reducing the pro-convulsive effects of TNF\u03b1. Interestingly, in the ferrous chloride model of epilepsy, seizure suppressing drugs led to a significant reduction in the extent of seizure-related morphological transformation of astrocytes The core computational model used in the present study was based on the modeling framework that we earlier developed to study the effect of different trauma patterns on the incidence of network bursts in post-traumatic cortex th neuron was inhibitory. Our goal was to understand the general responses of a cortical network to traumatic perturbation and therefore specific features pertaining to specific cortical layers were not included in the model.A cortical network was modeled as a 2D network on square lattice (80\u00d780 neurons) in which each neuron could establish synapses with its peers with probability The dynamics of neurons were modeled with the one compartmental Morris-Lecar model Synaptic transmission was modeled as a deterministic process, during which synaptic conductance rose instantaneously following the spike and relaxed, with the characteristics time The temporal dynamics of the NMDA conductance was modeled as a difference of fast excitation to a fraction us block , right. us block , right.Recent experimental evidence indicates that TNF\u03b1 is a permissive, rather than instructive, mechanism that allows the synapses to express homeostatic synaptic plasticity This modeling assumption stems from the fact that TNF\u03b1 can only upregulate excitatory synaptic conductance; thus, down regulation of synaptic conductance likely depends on the firing rate of postsynaptic neuron The extent of per synapse homeostatic adjustment was computed as percentage of change in synaptic conductance relative to its value in the corresponding intact model. Taking PY-PY synapse as an example, In some simulations, we investigated the effect that functional segregation of synaptic input into microdomains might have on the post-traumatic reorganization of electrical activity in cortical network. For each model PY neuron, the entire set of Several models of astrocyte-synapse interaction In a separate set of simulations we modeled correlated segregated inputs, whereby the entire set of synapses to each model PY neuron was partitioned into two groups , which are often considered as an important diagnostic feature of epileptic seizures Paroxysmal bursting events were detected as previously described in The large size of our model network made analysis of the entire network computationally intractable; thus, we sampled the activity of a subset of neurons , using this sample to estimate the rate of paroxysmal bursts in the network. In the case of a diffusely traumatized network , the sampling region was a square block co-centered with the center of the 2D network because spatially random deafferentation resulted in activity roughly symmetric with respect to the center of the lattice. In the case of a focally traumatized network , the sampling region was composed of 5 parallel adjacent lines because the activity generally propagated from intact regions into deafferented regions.In our earlier studies we showed that, in the deafferentation model of post-traumatic epileptic activity, the paroxysmal activity is generated by model pyramidal neurons with partially intact connectivity that are located at the boundary between intact and deafferented regions"}
+{"text": "We present here the patient undergoing laparoendoscopic single-site (LESS) retroperitoneal radical nephrectomy while receiving hemodialysis. An 81-year-old man under hemodialysis for 6 years was incidentally discovered to have two left renal masses with acquired cystic disease of the kidney (ACDK). A 4-cm flank incision for GelPort was made. Three trocars were inserted into the retroperitoneum through GelPort. After division of the renal vessels and ureter, the kidney was placed into the extraction bag and was retrieved through flank incision without any extra skin incision. There were no intraoperative and postoperative complications. This procedure offers an effective, minimally invasive therapeutic alternative to the standard laparoscopic technique in high-risk end-stage renal disease patients. The incidence of developing renal cell carcinoma (RCC) has been estimated to be more than 20 times higher in dialysis patients compared to the general population . In patiLaparoscopic radical nephrectomy (LRN) is the most common operation described as minimally invasive surgery with a high success rate and low incidence of complications in RCC patients . Shoma eAn 81-year-old man under hemodialysis for 6 years was incidentally discovered to have two left renal masses with ACDK Figures . FollowiPatients with end-stage renal disease have increased the risk of developing RCC with an estimated incidence of more than 20 times higher compared to the general population . ACDK woSince Clayman's initial description of LRN in 1991 , this prLESS nephrectomy offers some advantages over conventional LRN including decreased pain, quicker convalescence, and improved cosmesis . The maiIn our opinion, LESS retroperitoneal radical nephrectomy has surgical challenge. Although LESS transperitoneal approach seems to be easier in a wide working space and many localizing landmarks, the benefits of retroperitoneal approach are little possibility of intra-abdominal organ injury and ligation of renal vessels prior to dissection of the kidney, in particular, for patients with a history of previous abdominal surgery and adhesions. Indeed, the major disadvantage of retroperitoneal approach is a narrow working space that may render it unsuitable for nephrectomy of large kidneys, but the kidneys in patients with dialysis are typically small and atrophic and are thus well suited for removal by LESS. In addition, preservation of the peritoneum is important for patients with hemodialysis in view of possible conversion to peritoneal dialysis. The main disadvantage is the longer operative time, which decreased as we gained more experience. The safe and successful development of LESS has the potential to become a standard for the treatment of small renal tumors in atrophic kidneys secondary to chronic renal failure in the continuing evolution of minimally invasive surgery."}
+{"text": "While the induction of neutralizing antibodies remains a cornerstone of HIV vaccine development, the success of the Thai trail and evidence from non-human primate (NHP) studies has indicated that non-neutralizing antibodies may provide protection from infection. These non-neutralizing antibodies can act as molecular beacons to recruit innate immune cells to recognize infected CD4T cells or free virus as pathogenic. The ability of an antibody to efficiently recruit innate immune cells depends on complex interactions between the pathogenic target, the antibody, and an effector cell.Here we present a quantitative model of natural killer cell mediated antibody dependent cellular cytotoxicity (ADCC), and examine the impact of core fucosylation, FcgR3a expression/occupancy, serum IgG competition and mutations in the Fc binding domain.The results indicate that FcgR3a site occupancy can predict the percentage of cells killed on an ADCC dose response curve. In addition, it appears ADCC is initiated past a threshold of FgR3a site occupancy on the natural killer cell.This provides key insight into the mechanism of the innate immune response and provides powerful evidence that the effector function of antibodies should be a key consideration in the development of HIV vaccines."}
+{"text": "Now, 57\u00a0years after the first report on the wobbler mouse we summarize the progress made in understanding the disease mechanism and testing various therapeutic approaches and discuss the relevance of these advances for human ALS. The identification of the causative mutation linking the wobbler mutation to a vesicle transport factor and the research focussed on the cellular basis and the therapeutic treatment of the wobbler motor neuron degeneration has shed new light on the molecular pathology of the disease and might contribute to the understanding the complexity of ALS.This review article is focused on the research progress made utilizing the wobbler mouse as animal model for human motor neuron diseases, especially the amyotrophic lateral sclerosis (ALS). The wobbler mouse develops progressive degeneration of upper and lower motor neurons and shows striking similarities to ALS. The cellular effects of the The wobbler mouse has successfully been used as animal model for human motor neuron diseases, especially ALS in the investigation of both, pathology and therapeutic intervention, as reviewed by was first described in 1869 by Jean-Martin Charcot and is the most common motor neuron disease (MND) among adults gene (ALS1 locus), coding for a major antioxidant protein. SOD1 is an enzyme involved in the detoxification of free superoxide radicals and more than 100 different ALS-associated mutations have been described in the SOD1 gene so far . Some ALS patients show increased levels of glutamate in the cerebrospinal fluid (CSF) . Alsin takes part in endosomal fusion and trafficking as well as neurite outgrowth , deep cerebellar nuclei, brain stem (N. vestibularis) and spinal inter neurons, while spinal motor neurons follow around day 15 p.n. . Four splice isoforms of the gene were detected, where the predominant encodes a protein of 977 amino acids is a component of the Golgi-associated retrograde protein (GARP) complex Fig.\u00a0. The VpsVps54 gene indeed is affected by the wobbler mutation, a transgenic rescue experiment was conducted. A transgene covering the full genomic sequence of wild-type Vps54 including sequences 63\u00a0kb upstream and 18\u00a0kb downstream was used to generate transgenic mice, which were bred into the wobbler strain. This wild-type Vps54 transgene could compensate the wobbler phenotype 2841Ucd, hence termed as Vps54\u03b2-geo, has a \u03b2-geo cassette inserted between exon 4 and 5, and the non-functional fusion protein product contains the first 152 amino acids of Vps54 fused with \u03b2-geo. The embryonic stem cells were used to generate chimeric mice and among their offspring heterozygous Vps54\u03b2-geo/+ mice were obtained, which generally had a normal phenotype , which causes a gastrulation defect and thus earlier embryonic lethality and thus might be a more general hallmark of ALS. Transport defects might also explain the mitochondrial dysfunction seen in wobbler cells or ion channels on the neuronal surface are affected, which would directly affect the electrical properties of the neurons. Recent electrophysiological recordings have demonstrated a hyperexcitability of layer V pyramidal neurons of the wobbler motor cortex already prior to the onset of disease symptoms, due to decreased GABAergic inhibition and abnormally shaped round-headed sperm cells (globozoospermia) with decreased motility has little success, because the injected sperm cells fail to activate the oocyte. Since wobbler sperm resembles the human sperm defects and also fail to activate oocytes after ICSI, the wobbler mouse was used as an animal model to test methods for assisted oocyte activation (AOA). After injection of wobbler spermatozoa in mouse oocytes, AOA leads to successful fertilization and the brain-derived neurotrophic factor (BDNF) hugely delayed motor impairment by directly acting on the survival of the cervical spinal cord motor neurons, and that even the administration of CNTF or BDNF alone was able to slow down symptom progression, even though to at a lesser extent was tested in wobbler mice by two different approaches. The rationale of these studies was to connect the well-known effect of ALCAR on mitochondrial activity mRNA expression and mitigation of reactive gliosis has proven to reproducibly increase, the life span of SOD1G93A mice in a dose-dependent manner and Hoechst 33258 was used to track human amniotic fluid cells (hAFCs) after transplantation in the lateral ventricles of wobbler- and healthy mice. In vivo and ex vivo approaches have shown that hAFCs rapidly spread to the whole ventricular system, but did not migrate into the brain parenchyma independently from the health status of the individual mouse. The transplanted cells survive for a long time in the ventricles of both wobbler and healthy mice, but had no influence on the survival of mice and did not cause inflammation or pleocytosis (Bigini et al. The phenotype of the wobbler mouse closely resembles human ALS regarding motor neuron degeneration, muscle atrophy, reactive gliosis as well as the cellular effects like ubiquitinated protein aggregation, oxidative stress, cortical hyperexcitability and cellular transport defects. Thus, the wobbler mouse models the complexity of ALS pathology with a number of interdependent cellular defects, the precise contribution of which is currently unclear. The ALS-like wobbler phenotype is caused by a point mutation in Vps54, a component of the GARP vesicle-tethering complex. The point mutation leads to a decreased stability of the GARP complex and thereby to impairments in the retrograde vesicle transport from endosomes to the TGN. These impairments consequently lead to missorting of proteins, accumulation of abnormally enlarged APP-positive endosomal compartments as it is also seen in a subset of human ALS patients. Even though there is no gap-less chain of evidence, it appears plausible that the impairment of the retrograde vesicle traffic leads to disturbance of several cellular processes such axonal protein- and organelle transport and the final consequences could be protein aggregation and mitochondrial dysfunction. The therapeutic interventions tested on wobbler mice have also contributed to the understanding of the complex pathology of ALS. The beneficial effects seen for anti-inflammatory- and antioxidant agents indicate that neuroinflammation and oxidative stress also plays a critical role in the wobbler motor neuron degeneration, while the poor effect of antiglutamatergic compounds might argue that glutamate-associated excitotoxicity plays a minor role. Our recent finding of hyperexcitability due to a reduced number of GABAergic interneurons in wobbler CNS, even prior to the disease onset appears to be more difficult to explain. However, similar cortical hyperexcitability has been reported in human ALS cases, also already prior to the onset of disease symptoms and has been attributed to the degeneration of inhibitory circuits (Vucic et al."}
+{"text": "Birth cohort patterns in mortality are often used to infer long-lasting impacts of early life conditions. One of the most widely accepted examples of a birth cohort effect is that of tuberculosis mortality before the late 1940s. However the evidential basis for claims of cohort-specific declines in tuberculosis mortality is very slight. Reanalysis of original or enhanced versions of datasets used previously to support claims of cohort effects in tuberculosis mortality indicated that: 1. where the initial decline in tuberculosis mortality occurred within the period of observation, onset of decline occurred simultaneously in many age groups, in a pattern indicative of \u2018period\u2019 not cohort-dependent effects. 2. there was little evidence of \u2018proportional hazard\u2019-type cohort patterns in tuberculosis mortality for any female population studied. Therefore any mechanisms proposed to underlie this type of cohort pattern in male mortality must be sex-specific. 3. sex ratios of tuberculosis mortality at older ages peaked in cohorts born around 1900, and resembled cohort sex ratios of lung cancer mortality. This analysis indicates that age-specific patterns in the decline in tuberculosis mortality before 1950 are unlikely to reflect improvements in early life conditions. The patterns observed are generally more consistent with the influence of factors that reduced mortality simultaneously in most age groups. Additional influences, possibly smoking habits, impeded the decline of tuberculosis in older adult males, and produced the sex-specific shifts in age distributions of mortality that were previously interpreted as evidence of cohort-dependent mortality decline. Birth cohort effects in epidemiology can be defined as variations in risk according to year of birth and arising from influences unique to particular birth cohorts, or which affected some birth cohorts more than others (for example because the effect varied with age at exposure) Tuberculosis is a chronic infectious disease with a complex and poorly understood aetiology that provides rich possibilities for life course influences. Disease can arise from primary infection or re-infection, or from re-activation of earlier infections that have persisted in a latent form. The relative contributions of recent and prior infection events to adult disease remain contested, and may vary with transmission rates The Norwegian physician Andvord is usually credited as the first to have recognized cohort patterns in tuberculosis data in the 1920s The type of cohort pattern described by Andvord can be termed a \u2018proportional hazard\u2019 cohort pattern, because the proportional difference in mortality rate for a given cohort compared to other cohorts was the same at all ages. Andvord\u2019s findings were popularized by Frost, who discovered similar proportional hazard type cohort patterns in tuberculosis mortality in the United States and Massachusetts The evidence for proportional hazard-type cohort patterns in historical tuberculosis mortality rests principally on two types of evidence: (1) the regularity of age patterns of tuberculosis mortality by birth cohort, compared with age patterns in period data; and (2) the progressive shift of the age distribution of tuberculosis mortality to older ages observed in some male populations. In both cases the evidence is circumstantial, and is limited to males, since age patterns were fairly stable by both cohort and period in female populations analysed, implying similar rates of decline at all adult ages In addition to graphical analyses, age-period-cohort models were used to detect period and cohort patterns in three studies recorded historical tuberculosis mortality using the same sources deployed by earlier authors.Close analysis of cohort patterns was precluded in previous studies by the use of occasional years or aggregated series of years of data, which prevented the construction of well-defined birth cohorts and the analysis of continuous series of rates. The present study is the first to use single calendar years of cause-specific age-specific mortality rates for analysis of cohort patterns in tuberculosis mortality in nineteenth century and early twentieth century populations. A sustained comparison of sex differences in tuberculosis mortality is also presented. A graphical approach was employed to provide simple tests for the presence of unambiguous proportional hazard-type cohort patterns. The very considerable problem of misdiagnosis of tuberculosis is ignored, because the purpose of the study was to test the existence of cohort patterns in Annual series of sex-specific age-specific tuberculosis mortality data were obtained as counts of deaths for England and Wales Contour diagrams were constructed using Lexis 1.1 software Shifts in the age distribution of tuberculosis mortality could be quantified using median age at death. The existence of time trends in median age at death was tested statistically using non-parametric Mann-Kendall tests . The median age at death rose significantly in the male populations of England and Wales, Massachusetts, the USA and Australia, although the rate of rise varied from 0.06 years of age per calendar year to 0.3 years per year . Although Mann-Kendall tests identified trends in the two of the four female populations tested the estimated rate of change in median age was slight compared with male trends, and negative in the case of females in England and Wales . ConsistThe constancy of the age pattern of cohort rates compared with period rates constitutes the most compelling evidence for cohort effects in the literature, and has often been interpreted to mean that the age pattern of tuberculosis mortality was biologically determined The argument that susceptibility to tuberculosis was a property of birth cohorts and acquired early in life requires that decline should have occurred first in the youngest age groups, and then proceeded with progressive lags at successively older ages, as cohorts with lower risk progressed through life. In three populations the onset of tuberculosis mortality decline occurred within observation . In eachIn most populations studied the age pattern of period female tuberculosis mortality remained relatively stable until the 1940s, whereas the age distributions for males shifted progressively to the right , 2 and 3Tuberculosis was the \u2018white plague\u2019 of the nineteenth century but declined dramatically in the decades before 1946, before the intervention of effective drug therapy or vaccination. This decline remains poorly understood, and has been variously attributed to increased human resistance due to genetic adaptation see , reducedTuberculosis decline began in most of the populations studied before the development of vital registration systems, and this makes it difficult to establish the existence or otherwise of the kind of lagged age-dependent initiation of mortality decline that Andvord considered diagnostic of cohort patterns. However in three cases where the initial stages of tuberculosis mortality decline occurred within observation the decline appeared to be initiated simultaneously in multiple, if not all, age groups , Table 3The intuitively most compelling aspect of the cohort decline of tuberculosis hypothesis is the observed regularity of cohort age patterns of mortality , which sThe second line of evidence for cohort effects, the progressive shift to the right of the male age distribution of tuberculosis mortality observed in some populations, did not constitute strong evidence of a cohort effect in the absence of evidence for a late onset of decline in these age groups. The absence of this shift in females, despite similar childhood mortality rates, makes it very unlikely that this pattern reflects effects of early life conditions on tuberculosis susceptibility. Rather these patterns arose from the relative slowness, but not lateness, of mortality decline at older ages in males of some populations. The widening of sex differences in tuberculosis risk over the first half of the twentieth century resembles closely the rise in excess male risk in mortality more generally in this period, and in particular the excess risk associated with smoking. Smoking grew rapidly in popularity in the late nineteenth century and in populations such as England and Wales, Australia and the USA its health impact was greatest in male cohorts born in the early twentieth century. Smoking is a risk factor for tuberculosis Previous claims regarding cohort patterns in tuberculosis mortality decline suggested a key role for infection in early childhood in determining lifelong risk, through primary disease in childhood and reactivation in adulthood. In contrast, the evidence presented here has no direct implications for debates regarding the importance of re-infection versus reactivation, or changes in resistance versus exposure, because the patterns reported could be produced by a wide variety of factors, that could have affected re-infection and reactivation simultaneously, and could have improved resistance and/or exposure at most ages. Nevertheless the finding that tuberculosis mortality decline was not cohort-dependent has important implications for research into the distal causes of tuberculosis mortality decline. In this respect the most important function of this paper is to describe more clearly which patterns need to be explained. In particular any mechanisms proposed to account for declines in tuberculosis mortality should account for the simultaneity of changes in age groups predicted to differ in their history of exposure and immune status.One of the most striking results of the present analysis is the diversity of patterns of historical tuberculosis decline. Tuberculosis mortality fell in most now-developed countries for decades before effective chemotherapy, but the timing of onset, and patterns of decline by age and sex, show marked differences between populations. This diversity presents a rich opportunity to test theories regarding the causes of tuberculosis mortality decline. Comparative modelling exercises should consider age-specific interactions that allow potential influences such as cohort-specific adult smoking habits and historical migration rates to be taken into account. Mason and Smith identified immigration as an important factor in the cohort patterns they discerned in US data, and speculated that mortality decline may have depended in part on a reduction in the proportion of foreign-born in the US population The patterns of decline of recorded tuberculosis mortality before the mid-twentieth century lend support mainly to theories of improvements that were relatively independent of age or prior exposure. The historical decline of tuberculosis therefore offers little evidence of benefits accruing to particular birth cohorts as a consequence of improvements in living conditions in childhood. The evidence for proportional hazard-type cohort patterns in tuberculosis mortality decline rests largely on the visual appeal of graphs showing cohort data for isolated years in males of selected populations with distinctive patterns of mortality. When more complete datasets for a range of populations and both sexes are considered then the evidence for this type of cohort effect appears very weak. Tuberculosis mortality decline is a poor example of a \u2018cohort effect\u2019 and should be dropped from textbooks in favour of other examples of cohort patterns such as lung cancer, where there is both better evidence and a biologically plausible explanation for the pattern. However the pattern of tuberculosis mortality decline is clearly complex and may involve both factors acting with immediate effect and factors with a prolonged or delayed effect on exposed groups that give rise to cohort-type patterns. Older males benefited less than other groups from the general decline in tuberculosis risk, and this probably reflects the contribution of a very well-established cohort pattern, that of smoking history and associated lung damage. Together with patterns of HIV infection, smoking habits may be a major influence on contemporary age distributions of tuberculosis morbidity, that has substantially modified the pattern of excess risk in early adulthood that predominated before 1950. This historical pattern of young adult risk remains poorly understood, but may provide important insights into age-specific aspects of tuberculosis immunity in contemporary populations.Figure S1Annual percentage improvement in age-specific respiratory tuberculosis mortality rates, England and Wales 1848\u20131980. Colours represent the range in percentage annual change indicated by the scale. Diagonal lines represent birth cohorts. Vertical patterns indicate that rates of mortality improvement were similar across age groups in a given year; diagonal patterns indicate that rates of change were more consistent within birth cohorts than by period.(TIF)Click here for additional data file.Figure S2Annual percentage improvement in age-specific respiratory tuberculosis mortality rates, Massachusetts 1880\u20131950. Five year age groups were used for ages 0\u20139, creating a discontinuity with single year of age data at older ages. Colours represent the range in percentage annual change indicated by the scale. Diagonal lines represent birth cohorts. Vertical patterns indicate that rates of mortality improvement were similar across age groups in a given year; diagonal patterns indicate that rates of change were more consistent within birth cohorts than by period.(TIF)Click here for additional data file.Figure S3Annual percentage improvement in age-specific respiratory tuberculosis mortality rates, US death registration states, 1900\u20131980 . Four-year age groups were used for ages 1\u20135, creating a discontinuity with single year of age data at older ages. Colours represent the range in percentage annual change indicated by the scale. Diagonal lines represent birth cohorts. Vertical patterns indicate that rates of mortality improvement were similar across age groups in a given year; diagonal patterns indicate that rates of change were more consistent within birth cohorts than by period.(TIF)Click here for additional data file.Figure S4Annual percentage improvement in age-specific respiratory tuberculosis mortality rates, Australia, 1907\u20131960 . Five year age groups were used for ages 0\u20134, creating a discontinuity with single year of age data at older ages. Colours represent the range in percentage annual change indicated by the scale. Diagonal lines represent birth cohorts. Vertical patterns indicate that rates of mortality improvement were similar across age groups in a given year; diagonal patterns indicate that rates of change were more consistent within birth cohorts than by period.(TIF)Click here for additional data file.Figure S5Quinquennial percentage improvement in age-specific respiratory tuberculosis mortality rates, Norway, 1871\u20131955. Colours represent the range in percentage annual change indicated by the scale. Diagonal lines represent birth cohorts. Vertical patterns indicate that rates of mortality improvement were similar across age groups in a given year; diagonal patterns indicate that rates of change were more consistent within birth cohorts than by period.(TIF)Click here for additional data file.Data S1Deaths registered from tuberculosis in Massachusetts 1880\u20131950, documentation file.(DOCX)Click here for additional data file.Data S2Deaths registered from tuberculosis in Massachusetts 1880\u20131950 by age group and sex. Comma-delimited text file as described in (TXT)Click here for additional data file."}
+{"text": "Ataxia-telangiectasia is a syndrome of chromosome instability (CIN) featured by progressive neurodegeneration affecting the cerebellumin in contrast to other brain areas. Previously, progressive neuronal death in AT was hypothesized to be driven by increased post-zygotic CIN in the cerebellum -3. To asCIN was evaluated by high-resolution single cell (immuno-) FISH techniques in 7 AT and 7 control samples. Bioinformatics analyses of neurodegeneration pathways were done as described earlier .Global aneuploidization affecting 20% of neurons and 80% of glial cells in the prefrontal cortex and cerebellum was observed. CIN in the cerebellum has affected specific chromosomes similarly the immune system. Paradoxically, dramatic and age-dependent increase in the pathological level of CIN did not result in accelerated neurodegeneration in the brain of patients, but was associated with increased lifespan. Bioinformatics analyses have shown that the SMAD pathway is implicated in neurodegeneration in addition to genome integrity maintenance, somatic V(D)J recombination and DNA damage response in neural cells.To explain paradoxes we hypothesized that progressive neurodegeneration in the cerebellum can be associated with activation of adult neurogenesis in the diseased cerebellum and/or activation and proliferation of microglia - the phagocyte system of the brain. Neurodegeneration pathways in the AT brain are likely to be applicable to disorders exhibiting neurogeneration in specific brain areas."}
+{"text": "The turbulent history of clinical trials in viral gene therapy has taught us important lessons about vector design and safety issues. Much effort was spent on analyzing genotoxicity after somatic integration of therapeutic DNA into the host genome. Based on these findings major improvements in vector design including the development of viral hybrid vectors for somatic integration have been achieved. This review provides a state-of-the-art overview of available hybrid vectors utilizing viruses for high transduction efficiencies in concert with various integration machineries for random and targeted integration patterns. It discusses advantages but also limitations of each vector system. For instance therapies for these genetic diseases would benefit from such tools because they rely on stable production of the defective gene product and subsequent long-term phenotypic correction. Furthermore, these vectors would circumvent repeated vector administration necessary for life-long correction. Moreover, inconveniences for the patient due to repeated drug administration could be avoided.Recombinant viral vectors commonly used for stable gene transfer can be divided by their ability to either integrate foreign DNA into the host genome or by their capability to be maintained as episomal, non-integrative viral vector genomes. However, until now none of the commonly used vector systems for maintenance of therapeutic DNA in dividing cells is optimal: (i) the development of episomally maintained DNA molecules, although without any risk of insertional mutagenesis, remains a challenging task. Limiting features are insufficient retention and replication of the episomal viral or non-viral (plasmid replicon) DNA molecule during cell division, inefficient delivery of replicating DNA, and the involvement of potential toxic viral coding products which in many cases are prerequisites for DNA retention within the nucleus. (ii) Integrating viral vectors were tested in preclinical and clinical settings and gathered information revealed that integration site preferences may cause genotoxicity by changing the expression profile and properties of the transduced target cell due to insertional mutagenesis. Therefore, one obvious approach to improve stable gene transfer for therapeutic applications is improving target site selection of integrating viral vectors by specifying their integration site preferences. To accomplish this goal, one solution could be the generation of viral hybrid vectors. Viral hybrid vectors are defined as vectors which combine the high transduction rates of viruses with genetic elements for stable maintenance of therapeutic DNA.This article focuses on recombinant viral hybrid vectors with the ability to integrate their therapeutic DNA into the host genome of eukaryotic cells. The principle of integrating viral hybrid vectors is schematically shown in The number of different hybrid vectors which are under development as gene-therapeutic integrating hybrid vectors is steadily increasing . and 2..Integrating hybrid vectors are an attractive choice if stable alterations need to be maintained in dividing cells. Each of these different integrating viral hybrid vectors is characterized by a set of different properties coming from the delivering vector itself and the integration machinery which is used, that make it suitable for some applications in gene therapy and unsuitable for others. Herein, we classified the hybrid vector by its delivery vehicle and subdivided the respective group depending on the integration machinery employed ..2.Mastadenoviridae. Until now, 53 human adenoviral serotypes were identified which were divided into 6 subgroups (A\u2013F). They display a very diverse and broad cellular tropism after in vivo application making them very attractive for gene transfer studies.Adenoviruses are non-enveloped viruses with an icosahedral capsid. The length of the linear, double-stranded adenoviral DNA genome is 26 to 45 kilobase (kb) in size ).Last but not least, it is important to explore these hybrid vector systems in larger animals, because the toxicity profile may be species dependent. History has taught us that the performance of a viral vector strongly differs between mice, larger animals and humans. At present, it remains an unanswered question whether combining the best of two worlds in viral hybrid vectors will provide a valuable option for therapeutic and experimental gene transfer approaches. Looking into the future, we believe that customized viral hybrid vectors which address the single needs of a certain genetic or acquired disease will play an important role.7.For successful treatment of various genetic diseases genomic insertion of therapeutic DNA is required for achieving long-term therapeutic effects. In this review we provided a state-of-the-art overview of integrating hybrid vectors. We believe that these vector types have a high potential for a variety of clinical applications for which conventional vectors may not be suited, because hybrid vectors may be specifically designed for a certain disease and its individual needs. However, at the time the appropriate answer to the original question raised in the title of this review article should be that for certain diseases and applications the current versions of integrating viral hybrid may be the better solution but for others they are not.in vivo applications in their current forms. We believe that gene therapy of monogenic diseases like hemophilia B would most likely not benefit from integrating viral hybrid vectors, because non-integrating HDAdV and AAV vectors were already shown to result in long-term expression of the human coagulation factor IX in mice and dogs [For instance, due to the complexity of currently available hybrid vector systems, they may not be suited for and dogs ,146. FurHowever, we think that integrating viral hybrid vectors will be beneficial for the treatment of some diseases originated from rapidly dividing cells like stem cells, keratinocytes or cancer cells. Within these large groups of target cells, hybrid vectors may find an important niche for transduction of those cell types for which MLV and HIV-based are not suited. Furthermore, conventionally used integrating vectors are limited by their packaging capacity. For example retroviral and lentiviral vectors have a limiting packaging capacity of 8\u201310 kb. Therefore, the significantly higher packaging capacity of HDAdV- and HSV-based hybrid vectors will be the only solution for diseases which require stable transduction of cells with large transgenes (> 10 kb)."}
+{"text": "Osteosarcoma, the most common malignant bone tumor of childhood, is a high-grade primary bone sarcoma that occurs mostly in adolescence. Standard treatment consists of surgery in combination with multi-agent chemotherapy regimens. The development and approval of imatinib for Philadelphia chromosome-positive acute lymphoblastic leukemia in children and the fully human monoclonal antibody, anti-GD2, as part of an immune therapy for high-risk neuroblastoma patients have established the precedent for use of targeted inhibitors along with standard chemotherapy backbones. However, few targeted agents tested have achieved traditional clinical endpoints for osteosarcoma. Many biological agents demonstrating anti-tumor responses in preclinical and early-phase clinical testing have failed to reach response thresholds to justify randomized trials with large numbers of patients. The development of targeted therapies for pediatric cancer remains a significant challenge. To aid in the prioritization of new agents for clinical testing, the Pediatric Preclinical Testing Program (PPTP) has developed reliable and robust preclinical pediatric cancer models to rapidly screen agents for activity in multiple childhood cancers and establish pharmacological parameters and effective drug concentrations for clinical trials. In this article, we examine a range of standard and novel agents that have been evaluated by the PPTP, and we discuss the preclinical and clinical development of these for the treatment of osteosarcoma. We further demonstrate that committed resources for hypothesis-driven drug discovery and development are needed to yield clinical successes in the search for new therapies for this pediatric disease. Osteosarcoma (OS), Ewing sarcoma, and rhabdomyosarcoma, are the most common sarcomas in children and adolescents. OS is the most frequent bone cancer occurring mostly in children and adolescents between 10 and 20\u2009years of age gene . Response criteria for the solid tumor panels are categorized as high, intermediate, or low. Agents inducing objective responses are considered highly active against the tumor xenograft. A PR is defined as \u226550% tumor volume regression, CR is immeasurable tumor volume and MCR is maintained CR at the end of the experimental study is an initiative supported by the National Cancer Institute (NCI) made up of a consortium of institutions in the United States and Australia and non-RTKs that lack transmembrane domains and are found in the cytosol, nucleus, and inner surface of the plasma membrane pathway is involved in angiogenesis and is crucial for tumor growth and progression. Several agents for anti-angiogenic therapies have been developed that target either VEGF or its cell surface receptors to induce anti-proliferative, anti-angiogenic, and proapoptotic effects. Of the three VEGF receptor isoforms , VEGFR-3 is overexpressed in OS cell lines and correlates with poor survival is a transmembrane RTK for which selective IGF-1R tyrosine kinase inhibitors have been developed. The binding of insulin-like growth factor-1 and 2 (IGF-1 and IGF-2) to the IGF-1R results in autophosphorylation and subsequent activation of multiple signaling pathways including the Ras/Raf/mitogen-activated protein kinase (MAPK) and PI3K/Akt pathways which both regulate cell growth and development in two lines and tumor growth inhibition (PD2) in another two of six OS xenografts in three of five OS xenografts in xenografts (PD2 in four of six tumors) which regulates cellular proliferation and mTOR complex-2 (mTORC2) which phosphorylates and activates Akt. Activation of the mTOR pathway is implicated in the development and progression of OS though specific results in OS are not yet available. Ridaforolimus is under clinical development for numerous adult cancers but is not FDA approved. A phase II trial of pazopanib and everolimus in patients with PI3K mutations and/or phosphatase and tensin homolog (PTEN) tumor suppressor loss is underway (NCT01430572).Response activity to rapamycin was high in one OS xenograft (CR) and intermediate in five tumors (PD2) . A current COG pediatric phase 1/II study investigating MLN8237 in children with relapsed/refractory solid tumors (NCT00739427) includes a cohort of patients with OS. Dose limiting toxicities of aurora kinase inhibition for neuroblastoma has been demonstrated is activated by MAPK/ERK kinase (MEK). MEK1 and MEK2 are dual-specificity protein kinases that function in the MAPK signaling cascade to control cell growth and differentiation binds and inactivates p53 to promote ubiquitination and proteasomal degradation for the p53 growth-suppressive function in unstressed cells. Selective inhibitors have been developed which disrupt binding of p53 and MDM2, to activate the p53 pathway in cancer cells leading to cell cycle arrest and apoptosis. Mutations in p53 is a recent candidate for molecular targeting in cancer. CENP-E is required for correct chromosomal alignment in mitosis. This protein integrates mitotic spindle mechanics with mitotic checkpoint signaling and is overexpressed in a variety of human tumors suggesting a role in tumor cell proliferation. Inhibition of CENP-E in cultured human tumor cells leads to cell cycle arrest in mitosis with bipolar mitotic spindles and misaligned chromosomes and eventual cell death. In the PPTP testing of GSK923295A, two OS xenografts met the criteria for high activity with a CR or MCR regulate acetylation of histone lysine residues which triggers transcriptional activity promoting cell transformation and proliferation. Deregulation of histone acetylation is associated with disease pathogenesis by promoting alterations in chromatin structure and gene transcription. HDAC inhibitors induce growth arrest and cell death by epigenetic changes in many preclinical and clinical cancer models. Vorinostat is an oral HDAC inhibitor of class I and II HDACs that is in clinical trials for hematologic and solid tumors that metastasize and compromise bone structure. Vorinostat is approved for cutaneous T-cell lymphoma and has advanced to phase III clinical trials for multiple myeloma. It is also in many phase II trials including acute myeloid leukemia, B-cell lymphoma, glioblastoma, myelodysplastic syndromes, and breast cancer.Preclinical studies of vorinostat in the PPTP revealed intermediate activity (PD2) in two of four OS tumors protein has triggered the development of Smac derivatives and mimetics for use in cancer treatment. During programed cell death, Smac, an endogenous proapoptotic protein of the mitochondria is released and promotes apoptosis via inhibition or proteasomal degradation of the inhibitor of apoptosis (IAP) family of proteins. Included in the IAP family is X-linked IAP protein (XIAP) and cellular-linked IAP protein-1 and -2 (cIAP1 and cIAP2) , angiogenesis (VEGF inhibitors), apoptosis, and DNA cytotoxicity in combination with standard chemotherapy has demonstrated promise in preclinical and early-phase clinical trials for OS. Significantly, these studies also highlight many of the major challenges faced by clinicians and researchers in the development of novel drugs and therapies for this disease. Many signal-transduction pathways activated by binding of growth factors to their receptors are proven \u201cdruggable\u201d targets. However, the responses are variable and the most dramatic benefits seen with biologic agents in ongoing studies are in the adjuvant setting. It is now apparent that successful treatment for this heterogeneous disease will involve combination strategies of new agents or personalized therapies. This integrated approach is anticipated to help realize the true potential of targeted therapies in OS.in vitro and in vivo panels of childhood cancers.The emergence of numerous anti-cancer agents and the small number of OS patients eligible for early-phase clinical trials present another challenge in the clinical testing of novel compounds. Predictive animal model systems for preclinical studies of safety assessment, drug metabolism, and pharmacokinetics may help to inform and prioritize available drugs for clinical development. The systematic preclinical evaluation of new agents in pediatric cancer has received tremendous support by the efforts of the NCI-supported PPTP which targets the ganglioside GD2, that is expressed on the surface of OS and Ewing sarcoma cells and denosumab which binds and neutralizes the activity of the receptor activator of nuclear factor kappa B ligand (RANK-L) cannot be tested in mice. Canine models recapitulate the primary human disease and provide a useful platform for the development of more effective treatments for both humans and canines. Spontaneous OS is the most common primary bone tumor in dogs with many phenotypic and molecular similarities between dogs and humans (Mueller et al., in vivo models and advanced testing strategies for the evaluation of different targets and therapies. A wealth of preclinical and clinical data of agents with activity in OS now exists which provides support for novel, single-agent therapies currently in clinical development. Future work evaluating these agents in the preclinical models can focus on their utility in novel, multi-agent combinations, to justify future approaches that may result in improved prognosis of pediatric patients. The search for new treatment strategies is ongoing and there remains considerable hope that progressive and continuous research through these preclinical testing programs will fully exploit the potential of targeted therapies in OS to maximize the benefits in this pediatric disease.In summary, the goal to find new targeted therapies for patients with OS has seen the development of suitable The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Highly pathogenic avian influenza virus (HPAI) strain H5N1 has had direct and indirect economic impacts arising from direct mortality and control programmes in over 50 countries reporting poultry outbreaks. HPAI H5N1 is now reported as the most widespread and expensive zoonotic disease recorded and continues to pose a global health threat. The aim of this research was to assess the potential of utilising Hazard Analysis of Critical Control Points (HACCP) assessments in providing a framework for a rapid response to emerging infectious disease outbreaks. This novel approach applies a scientific process, widely used in food production systems, to assess risks related to a specific emerging health threat within a known zoonotic disease hotspot. We conducted a HACCP assessment for HPAI viruses within Vietnam\u2019s domestic poultry trade and relate our findings to the existing literature. Our HACCP assessment identified poultry flock isolation, transportation, slaughter, preparation and consumption as critical control points for Vietnam\u2019s domestic poultry trade. Introduction of the preventative measures highlighted through this HACCP evaluation would reduce the risks posed by HPAI viruses and pressure on the national economy. We conclude that this HACCP assessment provides compelling evidence for the future potential that HACCP analyses could play in initiating a rapid response to emerging infectious diseases. Since 1980, on average one new emerging infectious disease (EID) has appeared in humans every eight months ,3. ReseaSince late 2003, highly pathogenic avian influenza virus (HPAI) strain H5N1 has been responsible for the deaths of millions of animals, primarily poultry taxa but also a range of other avian and mammalian species ,10. HPAIApproximately 80% of the Vietnamese population live in rural areas and almost 80% of these rural households participate in small-scale (backyard) poultry production . The RedHPAI H5N1 spread rapidly from Southeast Asia into Europe and Africa. The main mechanism for HPAI spread is the movement of poultry and their products ,14 howevHere we take a technique, Hazard Analysis of Critical Control Points (HACCP) analysis and applThe HACCP assessment of Vietnam\u2019s domestic poultry trade followed the first three HACCP principles . A CCP is a point in poultry trade which provides an opportunity to control, prevent or eliminate the risks for HPAI transmission. Each of these first two principles required cross-referencing outputs with existing literature on HPAI virus epidemiology within Vietnam\u2019s poultry trade. We also referred to recent reviews of the scientific literature to identify any risks which the HACCP analysis failed to identify.Critical limits were then set for each of the CCPs identified. These critical limits are thresholds used as preventative measures to control the hazards within the system. Setting the critical limits required prior research of both Vietnam\u2019s domestic poultry trade and consumer behaviour.The stages of the poultry trade chain identified as presenting increased opportunities for HPAI transmission in the HACCP were grouped into four categories, namely: 1. contact within poultry flocks, 2. poultry transportation and sale, 3. poultry purchase and slaughter, and 4. poultry preparation and consumption.1Contact within poultry flocks occurs at multiple stages within the trade. These potential viral \u2018mixing pots\u2019 exist when i) established flocks mix with newly recruited birds purchased by the owner; ii) flocks mix at a market; iii) birds mix at communal HPAI H5N1 vaccinations centres and iv) fighting cock contests bring birds together in one contact arena. Each of these scenarios present high-risk opportunities for poultry to poultry transmission whereas scenarios i), iii) and iv) also present high-risk opportunities for poultry-to-human transmission.2Poultry may experience multiple transportation events across a large spatial scale throughout their lifetime. At all stages of the poultry trade, the transportation and sale of eggs, chicks, adult birds or poultry products, creates opportunities for human-mediated transmission of HPAI viruses. Due to the contact opportunities and volume of birds moved across various spatial scales, the transportation and sale of poultry is considered a high-risk activity for HPAI transmission from both poultry-to-poultry as well as poultry-to-humans.3The purchase and slaughtering of poultry from wet markets primarily occurs in one of two ways; i) purchase from wet markets can involve the consumer buying a live bird which they then take home to slaughter themselves or ii) they can request the poultry seller to slaughter and prepare a chosen bird which the consumer then takes home as joints of raw meat. Both of these modes of purchase are closely linked to the fourth risk category, described further below. Purchase of poultry via mode i) is an HPAI transmission risk to poultry if the consumer has other household poultry and a risk to the consumer themselves when they come to slaughter and prepare the bird at home. The purchase of poultry via mode ii) is an HPAI transmission risk for the poultry seller as they slaughter and prepare the bird at the market and the handling of raw meat is a transmission risk for the consumer.4The preparation of poultry for consumption introduces poultry\u2013to-human HPAI transmission risks in the later stages of the trade chain, primarily through the slaughtering process. In the absence of appropriate hygiene practices, poultry slaughtering and carcass preparation put the slaughterer at substantial risk of exposure to HPAI viruses due to the contact with raw poultry and blood.Poultry consumption is a high-risk activity for HPAI transmission from poultry-to-humans if the infection is maintained in the raw or under-cooked tissue. Contrastingly, the consumption of well-cooked poultry and poultry products pose low-risks for viral transmission.CCPs were defined for each of the four risk stages identified during the HACCP assessment of Vietnam\u2019s poultry trade. Each CCP is a point in the poultry trade which provides HPAI viruses with an opportunity for transmission between host animals. For each CCP, critical limits have been proposed to limit virus transmission risks from poultry-to-poultry and from poultry-to-humans .The CCPs for limiting transmission through contact within poultry flocks involve the same approach as those for the transportation and sale of poultry; a combination of flock isolation, whereby established poultry flocks are prevented from mixing with other birds; quarantining newly purchased birds, where the newly purchased birds are held in isolation from other birds for a minimum of seven days; and household vaccination programmes .CCPs for the transportation and sale of the poultry begin once they depart from their household of origin. The suggested critical limit for this transmission risk is a total ban on inter-flock mixing of birds throughout poultry transportation and sale.Preparing poultry for human consumption is the first stage of the trade chain when non-farmers are introduced to a high-risk opportunity to contract HPAI viruses. Two key CCPs concern poultry slaughtering and carcass preparation; this refers to the slaughter of poultry both at home and in the wet markets.The associated risks can be reduced through the correct use of protective equipment such as face masks, gloves and sterile utensils to prevent contact with raw and bloody poultry. Further intervention should include the provision of additional education to the population through a range of health promotion mechanisms as to how to handle potentially infectious meat to hygiene standards imposed as a feature of standard food preparation HACCPs in the retail food industry.Poultry consumption is not a substantial risk for poultry-to-human HPAI transmission provided poultry products are well-cooked, thus the cooking stage is the CCP for poultry consumption with a critical limit of cooking temperature and duration. Consuming raw blood pudding poses some of the highest risks for poultry-to-human transmission of HPAI viruses and controlling this risk is only possible through thorough cooking practices or abstinence.Our HACCP assessment has identified poultry flock isolation as well as the transportation, slaughter, preparation and consumption of poultry as critical control points for HPAI H5N1 transmission in Vietnam\u2019s domestic poultry trade. Critical limits at each of these control points are recommended to control the risks of HPAI transmission from poultry-to-poultry and from poultry-to-humans.The scope of Vietnam\u2019s poultry trade is far-reaching both geographically and across social classes. Rural Vietnamese households typically keep a few backyard poultry and are likely to consume these birds or birds from neighbouring flocks. In urban Vietnamese households, it is less common for poultry to be kept within the household and birds are typically purchased at local markets . TypicalPoultry provides an important source of income as well as a low-cost protein source for many rural Vietnamese households . The HPAIf the management of infectious zoonotic diseases is to be successfully implemented, controlling the transmission chain from infected to uninfected animals is essential . PathogeIncubation periods differ between chickens and ducks with reports of deaths occurring within one to five days for chickens and up to seven days for ducks . As a rePoultry and its products are often transported in considerable numbers across large spatial scales. During transportation, HPAI material may be shed by infected individuals and lead to other poultry coming into contact with viral material. Consultation of published literature has shown that exposure to an environment contaminated with viral material can also pose a risk for viral transmission \u201323. The The H5N1 virus can survive in poultry carcasses kept at room temperature for several days or longer at cooler temperatures . Human iWithin Vietnamese households it is typical to consume the meat, eggs and organs of both chickens and ducks. The consumption of chicken and chicken products varies from that of ducks with regard to the parts consumed . UncookeExposure to hazards iii) and iv) will depend on the vaccination system employed and the suitability of the birds for cock-fighting. In some communes the Department of Animal Health (DAH) organises door-to-door vaccinations by local veterinarians. In more remote villages, the DAH organises communal vaccination days where households from several villages bring their poultry to one centralised location for vaccination. This latter vaccination system encourages the mixing of poultry flocks from different localities, promoting contact within poultry flocks, and given the time-lag before the HPAI H5N1 vaccine becomes effective, presents a high risk for the transmission of HPAI viruses. Door-to-door vaccinations ensure a lower risk of inter-flock viral transmission and are recommended. Should this approach prove impractical, the isolation of flocks whilst at the communal vaccination centre would limit the chances of inter-flock viral transmission. It is also noted that vaccination programmes are currently lacking any system of coordinated monitoring which woFighting cock contests may play a role in the transmission of HPAI viruses to humans ,28. FighAlthough not highlighted by this HACCP analysis, the review of existing literature also identified the care of poultry as a risk factor for HPAI H5N1 viral transmission from poultry to humans .Introducing the preventative measures highlighted by this HACCP evaluation should reduce the occurrence of HPAI outbreaks. The parallel findings of our rapid HACCP assessment with the existing literature cited, provides strong evidence for the potential that HACCP analyses may have as a framework for helping local personnel to formulate a rapid response to an emerging health threat. Indeed, because the involvement of local personnel is a critical aspect of the HACCP process, we would argue that the process not only identifies key critical control points and suggests control strategies but provides those local personnel with the knowledge, understanding and ownership to more reliably implement any identified control measures.The HACCP framework enables the identification of risks within a system and the design of control methods. It does not contain the scope for monitoring or ensuring compliance of the control points identified; such control should be applied via other means. Given that EIDs are appearing with increasing frequency, often in countries where they place additional strain on already over-burdened public health and healthcare systems, being able to rapidly identify and design strategies for control has valuable application in responding to emerging health threats such as the Middle East Respiratory Syndrome (MERS) virus which first appeared in Saudi Arabia in late 2012 or the r"}
+{"text": "Candida albicans causes mucosal candidiasis in the rapidly expanding number of immunocompromised patients. Mucosal candidiasis includes oropharyngeal, esophageal, gastrointestinal, and vaginal infections. Vulvovaginal candidiasis (VVC) and antimycotic-refractory recurrent VVC is a frequent problem in healthy childbearing women. Both these mucosal infections can affect the quality of life and finding new therapeutical and preventive approaches is a challenge. A vaccine against candidal infections would be a new important tool to prevent and/or cure mucosal candidiasis and would be of benefit to many patients. Several Candida antigens have been proposed as vaccine candidates including cell wall components and virulence factors. Here we discuss the recent progress and problems associated with vaccination against mucosal candidiasis.The commensal fungus Candida albicans is a dimorphic fungus that colonizes different areas of the body from the gastrointestinal tract to oral and vaginal mucosa. It is usually a commensal microorganism but in immunocompromised or otherwise debilitated hosts it can cause disseminated and mucosal candidiasis. Systemic candidiasis is the fourth most common hospital-acquired infection in the USA is a common distressing infection that affects up to 75% of childbearing women worldwide at least once in their life. Up to 7% of these women suffer from frustrating recurrent infection (RVVC) defined as at least three or four episodes of acute VVC in 1\u2009year Fidel, . Two forOverall, the growing impact of fungal diseases has resulted in renewed interest in new approaches for improving their control. Among these new approaches, the generation of fungal vaccines is recognized as a priority. A mucosal vaccine would improve the quality of life of a long list of target populations of women suffering from RVVC. The aim of this review is to discuss the recent progress and problems associated with the development of a protective mucosal vaccine against candidiasis.C. albicans as a commensal on the mucosal surface does not go unnoticed or tolerated by the host \u2013 humoral and cellular factors of the innate and acquired immune response play an important role in limiting the growth of the fungus and neutralizing the activity of the virulence factors lining the mucosa play an essential role in the defense against C. albicans recognition by TLR4 on monocytes/macrophages results in release of proinflammatory cytokines such as IL-1 and TNF-\u03b1 with fungal cells and re-administering the loaded DCs to the host 3-Fba glycopeptide to tetanus toxoid to render this vaccine entirely compatible with human use, a high degree of antibody-mediated protection was observed . Antibodies have also been generated but their titers did not correlate with protection. The rAls3p-N vaccine is a promising new vaccine candidate for further exploration to prevent systemic and mucosal candidal infections , a very well known enzyme belonging to a family of virulence factors of in vitro the anti-Candida activity as an Id vaccine to elicit Abs. An effective protection that correlated with a significant decrease in vaginal Candida CFU was obtained in Id-vaccinated animals compared with controls. The protection was associated with rising vaginal titers of anti-idiotypic Abs (IdAb), prevalently of the IgA isotype, that were able to passively transfer the protective state to non-immunized animals was used, neutralizing C. albicans heat shock protein 90\u2009kDa (hsp90-CA). Intradermal priming with recombinant hsp90-CA protein, followed by an intranasal or intradermal booster with recombinant hsp90-CA protein, induced significant increases of specific IgG and IgA antibodies in both serum and vaginal fluid. The specific IgG isotype increased after vaginal Candida infection, suggesting that Candida has the ability to induce a local hsp90-specific antibody (IgG) response during VVC have been generated by classical \u201cempiric\u201d approaches, including clinical impressions. Now, a large variety of covalently attached proteins has been found in fungal walls and these proteins can rapidly change their expression in response to different environmental conditions. The knowledge of the specific proteome of the fungus in the host is fundamental for the identification of new vaccine candidates (Klis et al., Despite several promising approaches, the achievement of a vaccine against mucosal infections in humans still faces a number of problems and challenges. The major challenge remains the difficulties in translating results from rodents to humans, as rodent models can represent at best only part of the variegate patterns of vaginal n Sobel, . In factn Sobel, . In addiKnowledge of the host mechanisms involved in candidiasis protection, and understanding of the fungal virulence factors, will allow the development of a novel topical mucosal vaccine.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Expectations held by patients and health professionals may affect treatment choices and participation in therapeutic interventions in contemporary patient-centered healthcare environments. If patients in rehabilitation settings overestimate their discharge health-related quality of life, they may become despondent as their progress falls short of their expectations. On the other hand, underestimating their discharge health-related quality of life may lead to a lack of motivation to participate in therapies if they do not perceive likely benefit. There is a scarcity of empirical evidence evaluating whether patients\u2019 expectations of future health states are accurate. The purpose of this study is to evaluate the accuracy with which older patients admitted for subacute in-hospital rehabilitation can anticipate their discharge health-related quality of life.A prospective longitudinal cohort investigation of agreement between patients\u2019 anticipated discharge health-related quality of life (as reported on the EQ-5D instrument at admission to a rehabilitation unit) and their actual self-reported health-related quality of life at the time of discharge from this unit was undertaken. The mini-mental state examination was used as an indicator of patients\u2019 cognitive ability.Overall, 232(85%) patients had all assessment data completed and were included in analysis. Kappa scores ranged from 0.42-0.68 across the five EQ-5D domains and two patient cognition groups. The percentage of exact correct matches within each domain ranged from 69% to 85% across domains and cognition groups. Overall 40% of participants in each cognition group correctly anticipated all of their self-reported discharge EQ-5D domain responses.Patients admitted for subacute in-hospital rehabilitation were able to anticipate their discharge health-related quality of life on the EQ-5D instrument with a moderate level of accuracy. This finding adds to the foundational empirical work supporting joint treatment decision making and patient-centered models of care during rehabilitation following acute illness or injury. Accurate patient expectations of the impact of treatment (or disease progression) on future health-related related quality of life is likely to allow patients and health professionals to successfully target interventions to priority areas where meaningful gains can be achieved. Expectations held by patients and health professionals may affect treatment choices and participation in therapeutic interventions in contemporary patient-centered healthcare environments,2. AccurSubacute in-hospital rehabilitation amongst older adults following acute illness or injury is one clinical setting where issues pertaining to health-related quality of life are paramount,8. The nAccurate expectations of the impact of treatment (or disease progression) on future health-related related quality of life is desirable in rehabilitation settings to allow patients and health professionals to target interventions to priority areas where meaningful gains can be achieved. SimilarThis investigation aimed to evaluate the accuracy with which patients admitted for subacute inpatient rehabilitation can anticipate their discharge health-related quality of life as reported on the Euroqol-5D (EQ-5D) instrument.A prospective longitudinal cohort investigation of agreement between patients\u2019 anticipated discharge health-related quality of life and their actual discharge health-related quality of life was undertaken.Two hundred and seventy-two patients (consecutive admissions) from a subacute geriatric assessment and rehabilitation unit at a tertiary hospital participated in this investigation. Patients admitted to this unit for multi-disciplinary rehabilitation had overcome the acute phase of their injury or illness causing hospitalisation, but required further multidisciplinary rehabilitation to maximize their recovery and health-related quality of life on discharge and thereafter. No specific sample size calculation was carried out prior to commencement due to the novel nature of this observational study (sample size of convenience).To evaluate health-related quality of life the EQ-5D instrumeThe Dolan tariff system was applied to these responses to produce a multi-attribute utility score (utility) where death and perfect health are represented by 0 and 1 respectively . The fulThe EQ-5D has a range of empirical evidence supporting its internal, external, concurrent and construct validity across a wide variety of populations and patient groups; including older adults,26,28-33Due to the prevalence of cognitive impairment amongst clinical populations of this nature, agreement between anticipated and actual discharge reports of health-related quality of life was examined for the sample as a whole; as well as by level of cognitive ability indicated by the Mini-Mental State Examination (MMSE) score. The MiniPatients from this clinical group may (or may not) have cognitive impairment. For the purpose of analysis, each patient from the sample was classified into a better cognition group (admission MMSE greater than 23) or a poorer cognition group . This cuPatients completed a standard battery of clinical assessments conducted by their physical therapists on the first weekday of their admission. In this way, all admission assessments were undertaken within 72 hours of admission to the unit. This assessment included physical performance tests as well as an interview administered EQ-5D for patients to report their health-related quality of life. Patients were then given a blank copy of the EQ-5D and the therapist read the words of the EQ-5D aloud (directly from the EQ-5D text). Patients then marked their response on EQ-5D instrument. The EQ-5D was administered as part of routine assessments for all patients. Physical therapists in this unit received in-service training on how to administer the EQ-5D without influencing patients\u2019 responses by reading directly from the text without leading patients with their tone or non-verbal cues. In addition to this standard training, staff conducting assessments included in this research received one to one instruction from a member of the investigative team to ensure that the EQ-5D was administered without bias at each assessment.Immediately following the completion of the standard admission EQ-5D, patients were then given a blank EQ-5D questionnaire and a brief scripted statement was read by the clinician conducting the assessment. This scripted statement was to prepare the patients to report their anticipated discharge health-related quality of life (on the EQ-5D instrument). This included a rudimentary outline of what usually occurs during a rehabilitation admission in this hospital unit to provide patients with a consistent frame reference irrespective of which therapist was conducting the assessment. It is also noteworthy that the study did not aim to investigate patients\u2019 ability to predict their length of stay, but rather their discharge health-related quality of life. Therefore the investigators considered the scripted statement necessary for ensuring that all patients had a foundational understanding of what rehabilitation may involve (such as participating in therapies) and knowing approximately how far ahead they were reporting their anticipated quality of life (approximately 42 days in this case). The clinicians were instructed to read this statement at a slow, steady pace for all participants to provide patients with a standard description of what care to expect.\u201cYou will receive regular therapies and other treatments during your stay to help you get ready for discharge. The average length of stay in this unit is six weeks. Some patients are ready and leave earlier than six weeks. Some patients need to stay longer than six weeks. When you are ready to be discharged from this unit, which of these statements do you think will best describe your health state at that time?\u201d\"\"When completing their anticipated discharge EQ-5D, the assessing clinician was permitted to answer patient questions regarding the nature of the treatment they would receive during their inpatient stay. Clinicians were also permitted to read the question again for the patient (directly from the script and the EQ-5D questions) without leading or assisting the patient to select a particular response. For this reason both the admission and anticipated EQ-5D was considered to have been interview administered rather than self administered and clinical staff were considered to be unblinded to patient assessments.The MMSE was completed by hospital occupational therapists or medical staff for each patient admitted to the unit as part of their routine care. Patients\u2019 admission MMSE assessments were completed within 24 hours of EQ-5D completion. This may have occurred before or after the EQ-5D assessment depending on therapy assessment scheduling within the clinical unit. The MMSE results along with other patient demographic variables were collated from the medical history. Immediately prior to discharge, patients again completed the standardised battery of assessments. This assessment also included an EQ-5D evaluation of their current health state at the time of discharge from the rehabilitation unit.This research investigation was approved by the institutional human ethical review board who waived the need for individual consent (negligible risk and utilising routine assessments); gatekeeper consent for staff participation was attained from the clinical managers in the unit.Conventional descriptive statistics were used to describe the sample. Tests of hypothesis were used to examine difference between the lower and higher cognition groups in age (unpaired t-test) and length of stay (Mann\u2013Whitney U). For the individual EQ-5D domain scores, levels of agreement between the anticipated discharge and actual discharge EQ-5D responses were calculated using weighted kappa with disagreements of only one level ascribed a 0.5 weighting; bias corrected 95% confidence intervals for kappa scores were calculated using bootstrap resampling ,48. The For the summary EQ-5D scores (utility and EQ-VAS), Limits of Agreement (LOA) and intrParticipant flow through for the duration of the study is outlined in FigureFor agreement between anticipated and actual EQ-5D domain scores, kappa statistics and exact matches are reported in TableIn regard to agreement between anticipated and actual discharge summary scores for the EQ-5D (utility and EQ-VAS), intraclass correlation coefficients and limits of agreement are presented in TableFindings from this investigation indicate that patients admitted for inpatient hospital rehabilitation were able to predict their discharge health-related quality of life on the EQ-5D instrument with a moderate level of accuracy in each of the five broad domains. Patients\u2019 health-related quality of life improved in all domains over the duration of their stay. Patients did not systematically overestimate or underestimate their discharge utility score derived from the individual domain responses. However, there was greater variability between anticipated and actual discharge summary scores for the poorer cognition group than the better cognition group. The small observed mean difference in EQ-VAS is unlikely to represent a clinically meaningful difference-52.There was no clear pattern of difference in predicting individual item responses across the individual health-related quality of life domains between the poorer and better cognition groups. The domain kappa scores and exact matches were comparable across cognition groupings and across domains. This may be attributable in part to the limited response options at discharge; where most respondents utilised only the two higher response options. However, the wider LOA among the lower cognition group for the EQ-5D utility index and EQ-VAS indicated that patients in the better cognition group had a smaller error margin than their peers in the lower cognition category.Comparisons to previous research are difficult given the scarcity of empirical evidence on this topic. This research provides the first empirical evidence indicating that patients undergoing in-hospital rehabilitation have, at worst, moderately accurate expectations of their discharge health-related quality of life. This adds to the weight of foundational evidence supporting joint goal setting and patient centered models of care in rehabilitation contexts for older adults-56. PatiAn important consideration when interpreting implications from this study\u2019s findings is that reports of patients\u2019 anticipated health-related quality of life may act as a self-fulfilling prophecy. Those patients who felt helpless and anticipated poor levels of physical functioning, pain and depression may have been less likely to participate in therapies and other treatments. SimilarIncluding a comparison between health-professional expectations and patient expectations of discharge health-related quality of life may be a worthwhile undertaking as a future research direction. The notion of patient expectations acting as a self-fulfilling prophecy would be supported if patients who anticipated a poorer outcome then their therapists, did actually achieve a poorer outcome in comparison to those where the patient and health professionals were in agreement. However, investigation of the influence of health-professional expectations on their patients\u2019 expectation for discharge health-related quality of life would also be worthy of consideration. It is plausible that health professional expectations may act as a self fulfilling prophecy if patients considered to have greater potential to improve were provided with additional therapies, treatments or other resources.It is also possible that patients in this study anticipated the level of functioning that would be required to be discharged safely back into the community and simply reported how they anticipated their health-related quality of life would be if they were to able to function at that level. They may have taken this heuristic response approach by surmising they would not be discharged until that level of functioning had been achieved. This woAnother factor worthy of consideration is whether patients recalled their anticipated discharge health-related quality of life responses and intentionally repeated the same responses at the discharge assessment. The investigators do not believe this occurred for four primary reasons. First, patients completed a wide range of routine assessments from multiple health professional disciplines during the first 72 hours of their admission to the participating rehabilitation unit. The large number of items assessed in this period offered natural protection against recalling their response to the six specific anticipated EQ-5D items. Second, some level of cognitive impairment is present among many patients in this older clinical group. This is evident in the MMSE scores, which indicated a large proportion of patients (including those in the \u2018better\u2019 cognition group) were likely to have some difficulty with memory and other rudimentary cognitive functions. Third, the long length of time between assessments (median 6 week length of stay) also provided natural protection against recalling responses from the initial assessment. Fourth, prior research has indicated that patients from comparable clinical groups do not give much consideration to health state scales when reporting their health-related quality of life and do not accurately recall responses to health-related quality of life reports completed at earlier assessments,5,60.A number of caveats should be considered when interpreting findings from this investigation. The EQ-5D is a straightforward instrument with limited response options. In this study the 3-level multiple choice EQ-5D was used. This was a logical choice of instrument for this style of investigation where the objective was to examine a patient reported outcome capturing generic health-related quality of life information. Nonetheless correct prediction of the broad response categories did not require a detailed understanding of their discharge health state . This is likely to have contributed to a higher level of agreement than that which may have been observed if a more detailed prediction was required. It is also noteworthy that alternative instruments with different psychometric properties may have resulted in more (or less) accurate predictions depending on the qualities of the instrument .There are several factors limiting the extent to which these findings can be generalized. First, all participants were from a single tertiary hospital. Patients from other hospitals or geographical locations may not have responded in the same way. Second, a single generic health-related quality of life instrument was used. Additionally, patients beginning the subacute rehabilitation phase of their recovery are likely to have already been provided with substantial information and advice about their prognosis. Patients in acute hospital care or community based settings may not have the same level of accuracy in anticipating their future health-related quality of life as the sample in this investigation.A priority for future research following this investigation includes examining patients\u2019 expectations across the continuum of care. This could potentially reveal valuable information regarding the role and timing of health education in joint decision making and patient-centered models of care. The nature of health information and focus of advice is likely to contrast across acute, subacute and community settings. This investigation has also exposed several opportunities for methodological improvement when undertaking future investigations of this nature among older adults. These opportunities include collecting a wider range of patient demographic clinical information that may influence ability to predict future health states. This may include recording patients\u2019 level of education, evaluating patient depression or anxiety levels, determining the amount and content of health education already delivered to patients prior to study commencement and a potential comparison to health professionals accuracy in predicting patients\u2019 future health-related quality of life.On a broader note, it would also be valuable for future investigations to consider how positive or negative findings regarding patients\u2019 preferences and expectations for their recovery should impact models of service delivery and individual treatment choices. There are many complex ethical considerations that could arise from this line of enquiry. For example, how should health-professionals with a duty of care to their patients respond if inaccurate patient expectations of disease progression result in a declination of evidenced based treatments to pursue an unadvisable course of action? How would this response differ depending on the potential severity of outcome or impact on third party dependents, such as children? Many issues in this sphere may initially seem straight forward in the context of patients being central decision makers in their care. Similarly, additional ethical complexity may be exposed if health-professionals do not have some degree of accuracy in anticipating future health-states. To this end, future research should investigate whether health professionals have the ability to predict patients\u2019 future health-related quality of life in a variety of contexts, given that patients are likely to formulate their own expectations after taking into account the opinion of their treating health professionals. Expectations held by health-professionals are likely to directly influence therapies and other treatment options offered to patients.Patients admitted for subacute in-hospital rehabilitation were able to anticipate their discharge health-related quality of life on the EQ-5D instrument with a moderate level of accuracy. This finding adds to the foundational empirical work supporting joint treatment decision making and patient-centered models of care during rehabilitation following acute illness or injury. Accurate patient expectations of the impact of treatment (or disease progression) on future health-related related quality of life is likely to allow patients and health professionals to successfully target interventions to priority areas where meaningful gains can be achieved. Accurate expectations may also help avoid despondency associated with falling short of unrealistic expectations or a lack of motivation associated with underestimating the potential for improvement in health-related quality of life.The authors declare they have no competing interests.SM contributed to research idea conception, data collection, data analysis and manuscript preparation, as well as manuscript review, appraisal and editing. TH contributed to research idea conception and manuscript review, appraisal and editing. Both authors read and approved the final manuscript."}
+{"text": "Measures of heart rate variability (HRV) and respiratory sinus arrhythmia (RSA), which are the healthy fluctuations in heart rate that reflect autonomic influences on cardiac activity, have been proposed as indicators of physical and psychological health. Previous studies suggest that HRV increases during some meditative states, but it is not clear how autonomic tone is affected either in the short term during meditative states, nor as a long-term result of meditation practice. Here we test two hypotheses: (1) eight weeks of meditation training will improve autonomic tone, in the form of increased overall HRV and decreased low-frequency HRV to high-frequency HRV (LF/HF) ratio; and (2) RSA increases during the meditation state compared to rest.We collected electrocardiogram recordings as part of a larger randomized controlled trial of the effects of an eight-week meditation training intervention on healthy adults without prior meditation experience. Here we report data from eight subjects before and after the \u201cmindful-attention\u201d meditation intervention and the control intervention. The recordings were performed while the subjects were lying supine, at rest (for both groups) and in a meditative state (for the meditation group only). We computed measures of HRV and RSA across a 3-minute epoch using a point-process model of heart beat dynamics.We found a longitudinal increase in HRV and a longitudinal decrease in LF/HF ratio , both consistent with improved autonomic function, in the meditation group but not in the control group. We also found a marked increase in RSA during meditation compared to rest.These preliminary outcomes, although derived from a small sample, support our hypotheses. They suggest that measures of RSA might be useful markers of the meditative state, and encourage further investigation on the efficacy of HRV measures to indicate a general improvement of autonomic health after meditation interventions."}
+{"text": "Polycystic ovary syndrome (PCOS) is the most common female endocrine disorder, affecting 6-18% of women of reproductive age. Irregular periods are a hallmark symptom of PCOS and whilst Chinese herbal medicine (CHM) has historically been used as an effective treatment for irregular periods, this requires further investigation in randomised controlled trials (RCTs). To ensure that the methods used within an RCT reflects Chinese herbal methods used in clinical practice, a study was proposed to establish good practice guidelines in the treatment of PCOS through achieving consensus amongst a group of Chinese medicine herbalists.a priori as a mean Likert scale score of 5 or more. Questionnaire items not reaching consensus were re-distributed to experts for re-consideration via a second and a third and final round of questionnaires where necessary.The Delphi method was used involving in-depth interviews with a purposive sample of 11 expert Chinese medicine herbalists. Interview data was analysed using thematic and framework analysis to formulate Delphi questionnaire items. Experts were then distributed the questionnaire online and asked to rate their agreement with each questionnaire item on a 7-point Likert scale. Consensus was defined Preliminary results suggest that consensus exists amongst experts regarding common diagnostic categories, treatment strategies used, appropriate dosage and appropriate duration of treatment to observe a clinical effect.The preliminary results suggest that consensus can be achieved at least within the core aspects of Chinese herbal medicine treatment for PCOS. This methodology is vital in the development of rigorous RCTs for CHM and the outcome and principles of good practice guidelines for PCOS will be presented at the conference."}
+{"text": "Patient recruitment is one of the main challenges in conducting randomised controlled trials (RCTs). Patients\u2019 treatment preferences are viewed as a barrier to RCT recruitment yet there is little research to understand them. This study explored the expression of preferences by potential trial recruits, the response to them by recruiters, and their influence on trial participation decisions during trial recruitment appointments.We undertook an analysis of audio recordings of consecutive recruitment appointments to a UK multi-centre RCT of three different treatments for prostate cancer (the ProtecT - Prostate cancer testing and Treatment - study) over a three month period. 93/108 appointments with men aged 51-70 years were recorded successfully and analysed using techniques of content and thematic analysis.Most potential participants expressed a desire for a particular treatment early in appointments, with their desires ranging on a continuum from hesitant to well-formed opinions. Recruiters explored these initial treatment views in the context of evidence-based treatment and study information which resulted in many men becoming uncertain about their initial views and open to RCT recruitment, often accepting a different treatment from their original \u2018preference\u2019. Only a quarter of men who initially expressed a wish for a particular treatment sustained or developed a clear treatment preference as the consultation proceeded and ultimately received this treatment. In most of these cases the recruiters established the rationale for the preference then provided specific information that counter-balanced their reasoning by emphasising the position of clinical equipoise, uncertainty of the prognosis and the pros and cons of their desired and non desired treatment. This counter-balancing of information continued until they were sufficiently satisfied that the man was making a fully informed decision.Many potential trial recruits will present initially with a treatment preference at trial recruitment but most of these preferences will dissolve after thorough exploration and targeted evidence-based information enabling trial participation. Only a minority of preferences are upheld after specific counter-balancing of information is tactfully given. The key for future research is to continue developing strategies that sensitively elicit and explore treatment preferences so that the more robust preferences can be distinguished from the ephemeral views to maximise trial recruitment."}
+{"text": "Neural stem cells have been isolated from post-mortem brain of Alzheimer\u2019s patients and neural stem cells generated from biopsies of the olfactory organ of patients is another approach. These \u201colfactory neurosphere-derived\u201d cells demonstrate robust disease-specific phenotypes in patients with schizophrenia and Parkinson\u2019s disease. HCS is already in use to find small molecules for the generation and differentiation of ESCs and iPSCs. The challenges for using stem cells for drug discovery are to develop robust stem cell culture methods that meet the rigorous requirements for repeatable, consistent quantities of defined cell types at the industrial scale necessary for HCS.The concept of drug discovery through stem cell biology is based on technological developments whose genesis is now coincident. The first is automated cell microscopy with concurrent advances in image acquisition and analysis, known as high content screening (HCS). The second is patient-derived stem cells for modeling the cell biology of brain diseases. HCS has developed from the requirements of the pharmaceutical industry for high throughput assays to screen thousands of chemical compounds in the search for new drugs. HCS combines new fluorescent probes with automated microscopy and computational power to quantify the effects of compounds on cell functions. Stem cell biology has advanced greatly since the discovery of genetic reprograming of somatic cells into induced pluripotent stem cells (iPSCs). There is now a rush of papers describing their generation from patients with various diseases of the nervous system. Although the majority of these have been genetic diseases, iPSCs have been generated from patients with complex diseases (schizophrenia and sporadic Parkinson\u2019s disease). Some genetic diseases are also modeled in embryonic stem cells (ESCs) generated from blastocysts rejected during The last decades have seen development and applications in cellular neuroscience of DNA, RNA, and protein analysis technologies that provide large volumes of information, getting away from the traditional methods that follow the activities of single genes or single cell types. The application of DNA sequencing, RNA microarrays and higher throughput protein mass spectrometry is allowing examination of biological systems in all their complexity. What has been missing for cell biologists is the ability to interrogate cell functions at the same scale and level of complexity. This is being addressed by the developments in automated technologies developed by pharmaceutical companies to screen massive compound libraries for the discovery of new drug leads. Until recently this high throughput screening, with robotic control and automated data capture and analysis of experiments in 96-, 384-, and 1,536-well plates, centered on enzyme and receptor assays but increasingly, interest is turning to cell-based assays that capture the complexity of the environment in which drugs will actually operate. There has been a move to drug screening based on cellular outcomes rather than predicted mechanism . This led to the concept and development of \u201chigh content screening\u201d (HCS) that combines advances in fluorescence labeling of cells, robotic and automated microscopy, and automated image analysis that brings the analysis of cell functions to the high throughput formats of multiwell plates . For theIn neuroscience, the discovery of the genetic causes of familial diseases has driven understanding of the functions of individual genes and proteins in cell function in the nervous system and the effects of mutations on brain function. Identification of a candidate gene is followed by genetically modified cell and mouse models to identify the functions of the identified gene at cell and systems level. Mouse models have been important for elucidating protein and gene functions but they often do not recapitulate human disease because the mice lack the human genetic background and the introduced human genes are acting in a non-human cellular context. Immortalized human cell lines have a more relevant genetic background but, being derived from tumors, they may not reflect a normal cellular context. Patient-derived primary cells might be a solution for both drawbacks but they cannot usually be maintained for very long in culture and finding an accessible cell type for brain diseases is problematic. Stem cell technologies may have the solution to these drawbacks.There is an emerging interest in using stem cells to understand the cellular bases of human diseases. There is an imperative here, especially for neurological diseases and conditions. Large pharmaceutical companies are withdrawing from investing in neuroscience research because of the failure of the current paradigms to convert findings in animal models to drugs for human disease . There aFigure 1). These high throughput technologies arose from the desire of pharmaceutical companies to test all theoretical chemical compounds (~100 million) against all theoretical human biological targets, estimated from the number genes or proteins , indicating that as many as 1012 assays would be needed to identify all interactions between chemicals and targets . This allows quantitative analyses of components of cells such as spatio-temporal distributions of individual proteins, cytoskeletal structures, vesicles, and organelles when challenged with chemical compounds. HCS can be used to monitor activation or inhibition of individual proteins and protein\u2013protein interactions as well as allowing analysis of broader changes in biological processes and cell functions. Recent advances in the range of fluorescent probes for biological processes, functions, and cell components have combined with developments in fluorescence microscopy to give the cell biologists many new ways to understand cell functions in health and disease. These cell-centric developments have converged with high throughput concepts and with developments in automated microscopy and image analysis to evolve into the new technological synthesis of high throughput screening in which cell-based assays are conducted in multiwell plate formats. High content technologies are now used to screen chemical libraries for drug discovery as well as genome-wide RNA interference libraries to probe gene functions evident when the brain functions as a whole.The analysis of gene function through gain- or loss-of-function in cell, fly, and mouse models has been very instructive in elucidating functions of genes and proteins but less successful in providing models that predict drug efficacy in human diseases. An example is the failure of the superoxide dismutase transgenic mouse model for amyotrophic lateral sclerosis that has yielded multiple compounds that are therapeutic in mouse but not humans with genetic or chromosomal disorders derived from surplus blastocysts during iagnosis . Althougiagnosis . At thisiagnosis . No doubin vitro and reduced glutamate receptor expression is an autosomal dominant disease affecting the long spinal axons from the motor cortex to the lower motor neurons in the spinal cord. ONS cells from patients with HSP were similar in many basic cell functions to ONS cells from healthy controls despite dysregulation of expression of 60% of the genome, indicating a high level of homeostatic regulation in response to dominant mutations in protein . Closer protein . Live-ce protein . Ataxia protein . Immatur protein . Olfactoutonomia .IKBKAP gene in familial dysautonomia patient-derived ectomesenchymal cells . Both drugs increased acetylated a-tubulin, but with different dose\u2013response curves, and low doses of both drugs (~0.3 nM) restored patient cell acetylated a-tubulin to the control cell level . ONS cells are derived from neural tissue and can obviously show disease-specific phenotypes relevant to the neurological diseases from which the donors suffer. Proof-of-principle analyses have shown that brain diseases \u201cain a dish\u201d can be ameliorated by drug treatment. For example, Parkinson\u2019s patient-derived ONS cell functions were restored to control-derived cell levels by treatment with L-sulforaphane, an agonist of NRF2 . Similaral cells as it haal cells . HCS wasal cells . HSP patal cells . HCS sholl level .These experiments show that disease-associated dysfunctions in olfactory cells can be ameliorated by candidate chemical compounds acting on targets known to be disrupted in the patient-derived cells compared to controls. The next challenge is to see whether ONS cells are useful for screening libraries of compounds. They have some of the necessary characteristics such as ease of generation, low cost, robust and repeatable growth characteristics and predictable phenotype. These properties make them useful for building up banks of cells that will allow assessment of variability of cell biology across a wider population of patients and controls, to discriminate disease-specific differences from individual differences in complex diseases like Parkinson\u2019s disease and schizophrenia.in vitro. In growth factor-free medium 50% of the cells were \u201castrocytes\u201d [glial fibrillary acidic protein (GFAP)-positive cells], a proportion elevated by ciliary neurotrophic factor . These questions and challenges are all signs of a field at the very beginning of its genesis and many will undoubtedly be resolved in the coming years.The concept of drug discovery through patient-derived stem cell models of brain diseases is attractive but has many other challenges apart from the practical issues of cost and reliable production. Concerns are raised about the epigenetic status of iPSCs and ESCs \u2013 epigenetic status is variably altered by reprograming and by culture methods hence diOther developments in reprograming will affect this future. It is now possible to generate neurons directly from skin fibroblasts . This maThe author declares that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Trichosurus vulpecula) within the North Island of New Zealand, demonstrating how commonly collected empirical dispersal data can be used to calibrate a cost-surface and associated accumulated-cost dispersal kernel. Our results indicate that considerable improvements could be made to the modelling of the transfer stage of possum dispersal by using a cost-surface and associated accumulated-cost dispersal kernel instead of a more traditional straight-line distance based dispersal kernel. We envisage a variety of ways in which the information from this novel combination of a cost-surface and accumulated-cost dispersal kernel could be gainfully incorporated into existing dispersal models. This would enable more realistic modelling of the direct transfer costs associated with the dispersal process, without requiring existing dispersal models to be abandoned.Dispersal costs need to be quantified from empirical data and incorporated into dispersal models to improve our understanding of the dispersal process. We are interested in quantifying how landscape features affect the immediately incurred direct costs associated with the transfer of an organism from one location to another. We propose that least-cost modelling is one method that can be used to quantify direct transfer costs. By representing the landscape as a cost-surface, which describes the costs associated with traversing different landscape features, least-cost modelling is often applied to measure connectivity between locations in accumulated-cost units that are a combination of both the distance travelled and the costs traversed. However, we take an additional step by defining an accumulated-cost dispersal kernel, which describes the probability of dispersal in accumulated-cost units. This novel combination of cost-surface and accumulated-cost dispersal kernel enables the transfer stage of dispersal to incorporate the effects of landscape features by modifying the direction of dispersal based on the cost-surface and the distance of dispersal based on the accumulated-cost dispersal kernel. We apply this approach to the common brushtail possum ( Dispersal is an important process for ecology and evolution, affecting organisms at the individual, population, and species levels by influencing population dynamics and gene flow. Conceptually, dispersal can be viewed as a combination of three stages: departure, transfer, and settlement. Each stage imposes energy, time, risk, and opportunity-based costs on the disperser that can either be direct and incurred immediately, or indirect and incurred subsequently We are interested in quantifying the direct costs associated with the transfer stage of dispersal, in which an organism moves from one location to another. Traditionally a distance-based dispersal kernel, calibrated from data on straight-line distances between the start and end locations of known dispersal events , is usedLeast-cost modelling is based upon a geographic information system (GIS) raster called a cost-surface . Cost-surfaces are developed using a variety of approaches Given a cost-surface and the same start and end locations of known dispersal events that are typically used to calibrate a distance based dispersal kernel, we can envisage a least-cost modelling approach to quantifying direct transfer dispersal costs. If LCPs are calculated between the start and end locations, then the accumulated-cost of the LCPs could be used to calibrate an accumulated-cost based dispersal kernel. This novel combination of a cost-surface and its associated accumulated-cost dispersal kernel would then enable the transfer stage of dispersal to incorporate the effects of landscape features, by modifying the direction of dispersal based on the cost-surface and the distance of dispersal based on the accumulated-cost dispersal kernel.Therefore, in contrast to the straight-line distance approach to modelling dispersal that assumes that the landscape does not affect dispersal directions or distances, a least-cost modelling approach to quantifying the direct transfer costs of dispersal would enable landscape features to be taken into account. This would help in moving towards a new generation of dispersal models that are more empirically based Trichosurus vulpecula), a nocturnal marsupial, about 70\u201390 cm in length and 2\u20133.5 kg in weight, which has become a notorious invasive species since its introduction to New Zealand from Australia during the late 1800s and early 1900s To demonstrate how the direct transfer costs of dispersal can be quantified using least-cost modelling, we apply our proposed approach to the common brushtail possum Tree and scrub cover for each area where possum dispersal data were gathered was rasterised from the most contemporary of New Zealand's landcover databases Rivers were differentiated by stream order, assuming that stream order is relative to river characteristics such as channel size and discharge Highway traffic volumes were based on point estimates of annual average daily traffic (AADT) for state All offshore areas and any features from the lagoon and lake entity classes of the national topographic database So that the set of rasters could be combined into a cost-surface, each raster's values were rescaled to between zero and one such that a set of relative inter-feature weights could be applied. This rescaling also provided an opportunity to control the intra-feature weighting of each landscape variable. With limited knowledge regarding how possum dispersal may vary across the range of values associated with each of the features, we assumed a linear function for rescaling the values of elevation, plan curvature, tree and scrub cover, and bridge length between zero and one A\u2013D.n requires two rivers of order n-1 n was half that of a river of order n+1 from the set of raster landscape features that made up a cost-surface (S) by multiplying each raster (r) by its associated weight (rw). To find a best fitting set of weights for each of these cost-surfaces, we generated a Latin hypercube sample (LHS) To determine the best fitting set of inter-feature weights for each of the 47 cost-surfaces, the computational efficient irregular landscape graph approach wi) to better interpret the relative strength of evidence for each landscape representation r2) from the linear regressions to assess the explanatory power. As well as ranking the 47 cost-surfaces landscape representations, we also included a uniform landscape representation in which connectivity between the possum sampling locations was measured using straight-line distance rather than LCP accumulated-cost. As with the cost-surfaces, an RSS value was also calculated by fitting a linear regression between the rescaled distances and the genetic distances.The 47 best fitting cost-surface landscape representations were then ranked by the corrected small sample AIC (AICc) that was calculated directly from the RSS values wi and r2 values derived from RSS value of each linear regression were reliable, each set of linear regression residuals were examined for signs of spatial autocorrelation. As the residuals were associated with links within a network of neighbouring possum sampling locations, the spatial structure between the residuals was defined as a binary variable representing adjacency of the links within the network. The level and significance of spatial autocorrelation was measured using a randomisation based global Moran's I To ensure the A dispersal kernel was calibrated for each of the landscape representations using the start and end points of dispersal events from 65 (47 \u2642 and 18 \u2640) radio-collared possums across five different studies U-tests were used to check for differences in dispersal connectivity values between sexes, in order to assess whether different kernels were required for each sex. The dispersal kernel for each landscape representation was defined by a lognormal probability distribution fitted to the dispersal connectivity values of the possum dispersal events via maximum-likelihood Dispersal connectivity was calculated between the start and end points of all of the radio-collared possum dispersal events as either straight-line distance for the uniform landscape representation, or as LCPs for the 47 cost-surface landscape representations. Mann-Whitney To compare the differing quantifications of dispersal transfer costs associated with the traditional straight-line distance approach and our proposed least-cost modelling approach, we produced maps that visualised the likely dispersal directions and distances given an arbitrary starting location.wi and r2 values indicating that there was minimal evidence to support this option as it does not explain differences in genetic distance indicating that the wi and r2 values can be interpreted with confidence. In contrast the uniform landscape representation's residuals had significant positive autocorrelation , indicating that some spatial factor that influences genetic distances is not accounted for \u2013 which we would argue is clearly the effect of landscape features.Analyses of the spatial autocorrelation of the regression residuals support these results. There was only slightly positive and non-significant spatial autocorrelation present for the top ranked cost-surface landscape representations . Therefore, lognormal dispersal kernels were fitted to the dispersal connectivity values derived for each landscape representation with the two sexes combined (There were notable differences for dispersal events when measured using straight-line distance for the uniform landscape representation, or LCPs for the cost-surface landscape representations . The discombined .The fact that the least-cost modelling approach to quantifying direct transfer costs was able to incorporate landscape features into the likely dispersal directions and distances was evident when these costs were visualised . This abThe LCP accumulated-cost connectivity values derived from our cost-surface landscape representations explained about one-third of the variation in genetic differentiation . These oAssuming that our cost-surfaces are a reasonable representation of the actual traversal costs for possums on the North Island of New Zealand, our results are conclusive in demonstrating that a uniform landscape representation in which dispersal can be based upon straight-line distance movement is far too simplistic. We feel confident that this will be the case for other species and locations as previous studies have also shown that least-cost modelling derived accumulated-cost values are better than straight-line distance at explaining ecological patterns that are affected by dispersal If a dispersal event is modelled as a single discrete movement, the probability density function of a dispersal kernel could be used to describe the likelihood of the dispersal event having a specific accumulated-cost value. This could then be used in combination with a cost-surface to randomly select an end point for the dispersal event. This is essentially an equivalent process as that used by the straight-line distance dispersal approach, but with the benefit of recognising landscape structure.It has also been suggested that a dispersing organism is increasingly likely to settle as accumulated transfer costs increase There are a variety of least-cost modelling approaches that aim to identify the area around a point that is likely to be reached With these different applications in mind, it is important to highlight that the landscape genetics approach we used to calibrate our cost-surface landscape representations is not the only or necessarily the best approach. While gene flow and dispersal are generally correlated they are not synonymous, as contemporary genetic structure is affected by other processes such as historical landscape change and population level survival and reproduction rates It is also important to remember that we focussed on the direct costs associated with the transfer stage of dispersal, which is only one part of the broader whole dispersal process that also includes departure and settlement costs To conclude, a new generation of dispersal models is required that better exploits recent empirical advances in understanding the dispersal process"}
+{"text": "Computational Structural Bioinformatics Workshop (CSBW) was held in Philadelphia on October 4, 2012. This issue includes eleven papers selected from the work presented at the CSBW of 2012. In \"Four-body atomic potential for modeling protein-ligand binding affinity: application to enzyme-inhibitor binding energy prediction\", a predictive model of free-energy was built to evaluate the binding between a protein and a ligand. In \"Unbiased, scalable sampling of protein loop conformations from probabilistic priors\", a new Markov chain Monte Carlo algorithm was proposed to generate unbiased conformations of closed protein loops from probabilistic priors. In \"Enhancement of accuracy and efficiency for RNA secondary structure prediction by sequence segmentation and MapReduce\", authors demonstrate an enhanced method by cutting a long RNA sequence into smaller chunks at strategically selected points, and distributing the tasks to multiple processors. In \"A population-based evolutionary search approach to the multiple minima problem in de novo protein structure prediction\", the authors present an evolutionary search algorithm to obtain a discrete representation of the protein energy surface in terms of an ensemble of conformations representing local energy minima. In \"Estimating loop length from Cryo-EM images at medium resolutions\", the authors developed a computational geometry method to simplify the points along the skeleton to measure loop length in 3D images. The paper \"A conservation and rigidity based method for detecting critical protein residues\" presents a method that combines the rigidity and the evolutionary conservation in detection of the critical residues. In \"A conservation and biophysics guided stochastic approach to refining docked multimeric proteins\", the authors introduce a refinement method that accepts complexes consisting of any number of monomeric units. In \"Elucidating the ensemble of functionally-relevant transitions in protein systems with a robotics-inspired method,\" the authors present a robotics-inspired tree-based method to sample energetically-credible conformational pathways connecting diverse functional states in multimodal proteins. The paper \"An aggregate analysis of many predicted structures to reduce errors in protein structure comparison caused by conformational flexibility\" applies protein structure prediction algorithms to enhance the classification of homologous proteins according to their binding preferences. In \"DINC: A new AutoDock-based protocol for docking large ligands\", an enhanced method was demonstrated for docking large ligands. The paper \"Modeling protein conformational transitions by a combination of coarse-grained normal mode analysis and robotics-inspired methods\" presents an efficient approach involving robotics concepts.The rapid accumulation of macromolecular structures presents a unique set of challenges and opportunities in the analysis, comparison, modeling, and prediction of macromolecular structures and interactions. The 6th The authors declare that they have no competing interests."}
+{"text": "Current prognostic clinical and morphological parameters are insufficient to accurately predict metastasis in individual melanoma patients. Several studies have described gene expression signatures to predict survival or metastasis of primary melanoma patients, however the reproducibility among these studies is disappointingly low.We followed extended REMARK/Gould Rothberg criteria to identify gene sets predictive for metastasis in patients with primary cutaneous melanoma. For class comparison, gene expression data from 116 patients with clinical stage I/II (no metastasis) and 72 with III/IV primary melanoma (with metastasis) at time of first diagnosis were used. Significance analysis of microarrays identified the top 50 differentially expressed genes. In an independent data set from a second cohort of 28 primary melanoma patients, these genes were analyzed by multivariate Cox regression analysis and leave-one-out cross validation for association with development of metastatic disease. In a multivariate Cox regression analysis, expression of the genes Ena/vasodilator-stimulated phosphoprotein-like (EVL) and CD24 antigen gave the best predictive value . A multivariate Cox proportional hazards model revealed these genes as a potential independent predictor, which may possibly add (both p\u200a=\u200a0.01) to the predictive value of the most important morphological indicator, Breslow depth.Combination of molecular with morphological information may potentially enable an improved prediction of metastasis in primary melanoma patients. A strength of the gene expression set is the small number of genes, which should allow easy reevaluation in independent data sets and adequately designed clinical trials. Human melanoma is the most malignant skin cancer 2) Although numerous molecular events have been associated with development and progression of melanoma In the last years several attempts have been made to develop individualized prediction of metastasis from a merely morphology-based into a state-of-the-art molecular approach. Within the past decade several gene expression studies have reported molecular predictors for disease outcome in melanoma, may it be survival or development of metastasis, with disappointingly low congruence i.e. metastasis during clinical follow up. The Cox proportional hazards model followed by leave-one-out cross validation (LOOCV) revealed two genes whose expression was associated best with metastasis, namely the genes encoding the Ena/vasodilator-stimulated phosphoprotein-like (EVL) and CD24 antigen (CD24).In this study, we followed the guidelines on statistical analysis and reporting of gene expression data for cancer outcome To identify the gene expression profiles of individual melanoma patients, the cDNA from each tumor was hybridized against a common skin reference as described The top 50 genes identified by class comparison were used in the second independent gene expression dataset of 28 primary melanomas for prediction of metastasis.http://david.abcc.ncifcrf.gov), most of these genes were assigned to immune defense response and regulation of cell proliferation.Affymetrix probe sets matching these 50 genes were determined using the GeneAnnot-database These 43 genes were used as independent variables in a multivariate Cox regression analysis. The two probe sets with the best predictive value comprised the Affymetrix probe set IDs 217838_s_at and 208651_x_at matching the genes encoding Ena/vasodilator-stimulated phosphoprotein-like (EVL) and CD24 antigen (CD24), respectively . The expLeave-one-out cross-validation analysis was used on the 28 patient dataset to evaluate the model-based gene set for hypothetical prediction of metastasis for each patient. Here, one sample was withdrawn from the initial 28-sample dataset, leaving a temporary 27-sample training set and one left out-sample. On the training set, the gene set obtained from Cox regression is then used to classify the previously left out-test sample We next asked, whether gene expression could possibly add to the predictive power of the most important morphological parameter, Breslow depth. In a multivariate Cox proportional hazards model we evaluated the combination of Breslow depth either with ulceration, mitotic rate or gene expression for additional effects on prediction of metastasis.While addition of ulceration or mitotic rate did not improve the predictive value of Breslow depth , additioConsistent with the results obtained by the Cox proportional hazards model, there was a low correlation between Breslow depth and the model risk score calculated from the two genes , suggesting the latter as a potential independent predictor for metastasis. In contrast, the morphological parameter mitotic rate correlated significantly with Breslow depth .i.e. lymphotoxin beta, was identified by at least three of these studies Although genomic information has significantly contributed to the understanding of the cell biology and also to the therapy of melanoma, molecular information has failed so far to provide robust information for individualized prediction of the clinical course of patients. This is best exemplified by studies using gene expression microarrays for class prediction such as survival or metastasis. For example, in 7 independent and prominently published studies on class prediction for survival in human melanoma biopsies a total number of around 590 different candidate genes were proposed as molecular markers In 2007, Dupuy and Simon critically reviewed a number of 90 published microarray studies on cancer outcome and described several issues heavily compromising the validity and the reproducibility of these studies . In view of the many pervasive mistakes and misunderstandings in studies published even in high impact journals, the REMARK/Gould Rothberg criteria were developed for statistical analysis and reporting of microarray studies for clinical outcomes of patients with primary cutaneous melanoma i.e. metastasis).Interestingly, the use of a separate test set for supervised prediction appears to be a gold standard to some authors, but in many studies the use of a separate test set almost invariably brought more confusion than clarity. Instead, the gold standard should rather be a proper validation of the classifier performance and this can be achieved through a cross-validation procedure as well The identified gene sequences encode CD24 and EVL and both have documented established and/or proposed biological functions relevant to cancer cell biology. CD24 is a GPI-anchored mucin-like membrane protein originally identified as a signal-transducing molecule on the surfaces of most human B cells EVL (Ena/VASP-like) is a member of the Ena/VASP (Enabled/vasodilator-stimulated phosphoprotein) family of proteins, which is a key regulator of cytoplasmic actin at sites of actin remodeling such as focal adhesions, the tips of filopodia or cell-matrix and cell-cell junctions Taken together our data show that, in contrast to morphological parameters such as mitotic rate and ulceration, gene expression analysis may potentially add to the predictive value of the most important indicator of primary cutaneous melanoma, Breslow depth. Whether this information is becoming translationally relevant is subject to further evaluation in independent datasets and adequately designed clinical trials.This study was approved by the Local Ethic Committees at the Universities of Cologne, Bonn and Aachen and has fulfilled the Declaration of Helsinki Principles for human research. All patients signed a consent form to participate in this study.Primary melanoma tissue samples were either collected at the Departments of Dermatology at the Universities of Cologne, Bonn or Aachen. Each department performed its histological and immunohistochemical routine procedures. Reference histology for melanoma biopsies was done at the Department of Dermatology of the University of Cologne. Healthy skin control samples were obtained at the Department of Dermatology at the Universities of Bonn or Cologne and re-examined at the Department of Dermatology at the University of Bonn. Primary melanoma lesions were classified at the time of surgery based on a combination of clinicopathological features and the AJCC 2002 staging system Immediately after surgery, skin biopsies were flash-frozen in liquid nitrogen. Total RNA from skin excision biopsies was isolated as described earlier http://www.sagenet.org, with minor modifications. Each SAGE library was obtained from a pool of mRNAs derived from 20 to 22 biopsies of melanomas and normal skin, respectively, to minimize biopsy related variations Serial analyses of the gene expression (SAGE\u2122) analysis of total RNA was performed as previously described The formula by Audic and Claviere All research involving human participants was approved by the institutional review board at the University of Essen and granted an exemption. The study has fulfilled the Declaration of Helsinki Principles. All patients gave written informed consent.Fresh primary cutaneous melanoma biopsies from twenty-eight patients were processed as described GeneArray@ 2500 Scanner (Affymetrix) was used for scanning and the quality of raw microarray profiles assessed as described Cellular RNA was extracted by guanidinium thiocyanate and cesium chloride centrifugation. The purification from the remaining melanin was performed using the Qiagen RNeasy Fibrous Tissue Mini Kit. The preparation of cRNA was carried out according to the GeneChip Expression Analysis Technical Manual (Affymetrix), and hybridized onto HU133A chips (Affymetrix). A Microarray probe intensity data from 28 primary melanoma patients were read from Affymetrix CEL files and processed with the Genespring GX11.5 software . The Robust Multi-Array Average algorithm (RMA) The Cox proportional hazard model i.e. metastasis) of a particular patient was predicted from the patient's risk score as calculated from the Cox model fitted to all other patients. The predicted outcome was compared to the real outcome to estimate the error rate (i.e. the probability of incorrectly classifying a future case) of the predictor on the basis of a suitably chosen decision rule (\u201ccutoff\u201d). The cross-validated risk scores were used as the covariate in another (univariate) Cox regression model. The resulting parameter estimate was used as a shrinkage factor for the -due to the limited number of patients and the forward modeling procedure- expectedly overestimated coefficients of the original Cox model.In a LOOCV we tried to evaluate the predictive capability of the model-based gene set. The outcome analysis using the binary outcome of documented metastasis or not.The area under the curve (AUC) was calculated by summarizing the relative frequencies of true positive predictions over the relative frequencies of false positive predictions from Cox regression (risk scores), Table S1Top 50 genes differentially expressed between human non-metastatic and metastatic primary melanomas of the class comparison data set.(DOCX)Click here for additional data file."}
+{"text": "Contractile function of striated muscle cells depends crucially on the almost crystalline order of actin and myosin filaments in myofibrils, but the physical mechanisms that lead to myofibril assembly remains ill-defined. Passive diffusive sorting of actin filaments into sarcomeric order is kinetically impossible, suggesting a pivotal role of active processes in sarcomeric pattern formation. Using a one-dimensional computational model of an initially unstriated actin bundle, we show that actin filament treadmilling in the presence of processive plus-end crosslinking provides a simple and robust mechanism for the polarity sorting of actin filaments as well as for the correct localization of myosin filaments. We propose that the coalescence of crosslinked actin clusters could be key for sarcomeric pattern formation. In our simulations, sarcomere spacing is set by filament length prompting tight length control already at early stages of pattern formation. The proposed mechanism could be generic and apply both to premyofibrils and nascent myofibrils in developing muscle cells as well as possibly to striated stress-fibers in non-muscle cells. Muscle contraction driving voluntary movements and the beating of the heart relies on the contraction of highly regular bundles of actin and myosin filaments, which share a periodic, sarcomeric pattern. We know little about the mechanisms by which these \u2018biological crystals\u2019 are assembled and it is a general question how order on a scale of 100 micrometers can emerge from the interactions of micrometer-sized building blocks, such as actin and myosin filaments. In our paper, we consider a computational model for a bundle of actin filaments and discuss physical mechanisms by which periodic order emerges spontaneously. Mutual crosslinking of actin filaments results in the formation and coalescence of growing actin clusters. Active elongation and shrinkage dynamics of actin filaments generates polymerization forces and causes local actin flow that can act like a conveyor belt to sort myosin filaments in place. We employ periodic boundary conditions with a system size nts for .In the premyofibrils of developing muscle cells as well as in stress fibers of non-muscle cells, the molecular motor myosin II polymerizes into bipolar filaments of a few hundred nanometers length that have numerous myosin heads at either end For sake of illustration, consider an isolated actin cluster that comprises a total number The structure factor is a standard measure used in condensed matter physics to quantify the regularity of periodic order Our computational model primarily serves as a proof of physical principle. The emergence of striated order in the framework of this model is a robust process that is not sensitive to the parameter choices. A sensitivity analysis can be found in the SI in vitro, while filopodia protrusion driven by actin polymerization can be as fast as e.g. in stereocilia.In unstriated stress fibers, actin filament length range from i.e. well below both the stall force of actin polymerization and the buckling force of single actin filaments.Myosin filaments may exert pico Newton forces on actin filament at full activation. Decoration of actin filaments with troponin/tropomyosin reduces myosin walking, which would correspond to lower values for the active myosin force We did not incorporate filament diffusion explicitly in our model, as thermal motion will be small in a dense bundle. Note, however, that dynamic myosin forces with short correlation time can induce stochastic, bidirectional motion of filaments.Several studies pointed out the effect of integrin-mediated anchorage of Z-lines for myofibrillogenesis In our simulations, we consider a minimal, one-dimensional model of a bundle of treadmilling actin filaments. Actin filaments with nearby plus-ends can form a stable crosslink by a complex of molecules that holds the plus-end of the two actin filaments, but still allows for actin polymerization at the plus-end, see section \u2018The computational model\u2019 and In each actin cluster, the constituent actin filaments polymerize at their plus-ends, thereby pushing against the processive crosslinkers of the Z-band. The growing actin filaments themselves move away from the Z-band in a form of \u2018local retrograde flow\u2019. The polymerization forces exerted by the polymerizing actin filaments on the Z-band are counter-balanced by friction forces that constrain the motion of the actin filaments. Any imbalance in the number of filaments of the two orientations will result in a net polymerization force and thus net motion of the cluster. The collision of two clusters can result in their mutual coalescence and the formation of a larger cluster. If actin filaments slide past each other without any friction, all filaments would eventually coalesce into a small number of very large clusters, see The arrest of actin cluster coalescence due to our proposed inter-filament friction can be understood on qualitative grounds as follows: The active motion of a single actin cluster is driven by an imbalance of polymerization forces acting on the Z body that can arise from an imbalance between the respective numbers of the constituent filaments of the two different filament orientations. This net polymerization force is balanced by the total friction force of the actin cluster . Since this total friction is proportional to the total number of filaments in the actin cluster, whereas the net polymerization force roughly scales only as the square root of this number, smaller actin clusters move faster than larger clusters. Furthermore, the mutual friction force between two overlapping actin clusters adds a friction term to the force balance that scales as the product of the respective filament numbers and therefore will eventually stall the approach of actin clusters above a certain size. In the more complex case of an actin bundle, the force balance for all actin clusters has to be considered. Friction between sliding actin filaments may be provided by fast, dynamic crosslinking along the entire lengths of the actin filaments by a second set of crosslinkers. Next, we discuss the possibility that myosin filaments serve as such a dynamic actin crosslinker, which mediates an effective repulsion between neighboring actin clusters.We now augment the simple actin bundle model by adding bipolar myosin filaments that can dynamically attach to actin filaments in a polarity-specific way, see To account for a distribution of actin filament lengths, we simulated bundles comprising actin filaments of different lengths. For simplicity, we chose a static polydispersity for the actin length given by a unimodular distribution of fixed mean length de novo polymerization of new actin filaments Actin filament length control and turnover of filaments both depend crucially on the polymerization and depolymerization dynamics of actin filaments. Thus, length control and filament turnover are in principle inseparable. This being said, we nonetheless aimed at isolating the qualitative effect of actin turnover. To this end, we augmented our computational model by including prototypical actin dynamics that differentiates between idealized dynamic regimes of either (i) steady-state treadmilling with constant actin filament length Our simulations suggest that sarcomere spacing is set by the length of actin filaments at early stages of striated ordering. How is actin filament length controlled within a pool of highly dynamic actin filaments? Capping proteins regulate filament polymerization and depolymerization rates. However, on their own, these proteins do not provide a means to tune the average filament length to a set point since they act locally in a manner that is not sensitive to the total length of a filament. Energetically favorable crosslinking or attraction of actin filaments all along their length can result in a unimodular length distribution as this ensures maximal mutual overlap of filaments This simple severing mechanism results in a unimodular length distribution at steady state, see Here, we proposed a simple, generic, and robust mechanism for striated pattern formation in a crosslinked bundle of aligned actin filaments. This physical mechanism of sarcomeric ordering is based on the formation of small actin clusters by the plus-end crosslinking of single actin filaments and the subsequent coalescence of these smaller actin clusters into larger ones, which are reminiscent of the I-Z-I complexes observed during early myofibrillogenesis The assembly of mature myofibrils in striated muscle cells has been proposed to be a multi-step process Experimental visualization of early sarcomeric pattern formation including actin filament length distribution, polymerization dynamics and their associated forces is technically challenging, but may be essential to test theoretical models of sarcomere formation. Little is known about the dynamics of actin filaments at early stages of sarcomeric pattern formation. In mature myofibrils, actin polymerization dynamics has been observed at both the plus- and the minus end In vitro experiments with reconstituted actin stress fibers et al., which showed that sarcomeric pattern formation was impaired in the presence of RNAi against tropomyosin and troponin Myosin filaments walk towards actin plus-ends. Unless counter-acted by other mechanisms, myosin walking would result in a wrong localization of myosin at nascent Z-bodies and thus impair sarcomeric ordering. In our model, actin treadmilling counter-acts myosin walking and transports myosin towards the future M-band, provided active myosin forces are not too strong. It has been suggested that in some species, the early establishment of sarcomeric patterning involves a non-muscle isoform of myosin II, which is later replaced by muscle-specific myosin II in silicio acto-myosin bundles. We acknowledge the possibility that the mechanism presented here is only partial and that other mechanisms also contribute to sarcomeric pattern formation that can be tested experimentally. In particular, details of our computational model can differ from the genesis of sarcomeres in developing muscle cells: Actin filament buckling as observed in reconstituted in vitro systems In conclusion, we put forward a model that includes a minimal number of generic mechanisms that results in sarcomeric polarity sorting in Text S1Supplementary (PDF)Click here for additional data file.Video S1Supplementary Video S1 shows the emergence of sarcomeric order in a simulated, one-dimensional acto-myosin bundle: Single, treadmilling actin filaments are shown in blue and red depending on the direction of their plus-end. At their plus end, actin filaments can become permanently crosslinked by a processive crosslinker that tracks actin plus ends while allowing for plus-end actin polymerization. Additionally, bipolar myosin filaments (magenta) dynamically attach to actin filaments in a polarity-specific manner, thus acting as a second set of active crosslinkers. Different vertical positions of the filaments are indicated solely for visualization purposes. Sarcomeric order in these simulated bundles can be quantified by the structure factor (AVI)Click here for additional data file."}
+{"text": "Based on long-term investigations we have concluded that IS is a compensatory response of the vertebral complex and has several strictly sequential stages:The first stage \u2013 pre-clinical. The usage of physiological kyphosis reserve (kyphosis is being transformed into lordosis).The second stage \u2013 sub-clinical. Elimination of the \u201cexcess\u201d length of osseous vertebra column owing to its torsion around relatively short medulla spinalis: frontal axis of shoulder (thoracic) girdle loses its parallelism relatively to the same axis of pelvis. \u201cOperate\u201d muscles-rotators of caudal zone.The third stage \u2013 clinical. Generated at the second stage stable shoulder (thoracic) girdle torsion is eliminated thanks to contra-lateral muscles-rotators in cranial zone and at the level where the process begins is left the most rotated vertebra that comes to be the top of the functional scoliosis. From that standpoint can be explained the well known fact of increased electro-activity of paravertebral muscles on the convex side of the scoliotic curve.The fourth stage \u2013 vicious circle. Generated at the third stage functional frontal curve disturbs vertebra column biomechanics and creates all conditions for realization of Huter-Volkman\u2019s law. The order of the following actions is evident: asymmetric pressure brings to development of vertebrae bodies wedge-shape, which sequentially, increases the frontal curve, etc. During examination of such patients the physician becomes the witness of typical IS development \u2013 tragedy, where the stage is vertebral complex.This opens up new horizons in treatment of scoliosis."}
+{"text": "Synaptobrevin II (sybII) is a key fusogenic molecule on synaptic vesicles (SVs) therefore the active maintenance of both its conformation and location in sufficient numbers on this organelle is critical in both mediating and sustaining neurotransmitter release. Recently three proteins have been identified having key roles in the presentation, trafficking and retrieval of sybII during the fusion and endocytosis of SVs. The nerve terminal protein \u03b1-synuclein catalyses sybII entry into SNARE complexes, whereas the monomeric adaptor protein AP-180 is required for sybII retrieval during SV endocytosis. Overarching these events is the tetraspan SV protein synaptophysin, which is a major sybII interaction partner on the SV. This review will evaluate recent studies to propose working models for the control of sybII traffic by synaptophysin and other Sybtraps (sybII trafficking partners) and suggest how dysfunction in sybII traffic may contribute to human disease. The regulated fusion of synaptic vesicles (SVs) on action potential invasion of central nerve terminals mediates neurotransmitter release. The subsequent retrieval and recycling of SVs after fusion is essential for the maintenance of neurotransmission. The SV is a highly organized molecular machine; therefore the mechanisms which control the sequestering of SV cargo from the plasma membrane during endocytosis are critical for generating functional organelles that are capable of responding to neuronal activity with high temporal and spatial precision. Cargo clustering and selection occurs at the plasma membrane during SV formation, via the coordinated recruitment of the classical adaptor protein complex AP-2 Synaptobrevin II (sybII) and synaptophysin are the two most abundant SV cargo proteins, with approximately 70 and 30 copies, respectively per SV Crosslinking experiments in neurons revealed that outside of the SNARE complex sybII exists in a combination of monomers and dimers In contrast to sybII, synaptophysin is a protein which until very recently had no defined function in the SV life cycle. It is a tetraspan (four transmembrane domain) SV protein, with cytoplasmic N- and C-termini. It is a glycoprotein, with glycosylation essential for its targeting to SVs on its exit from the Golgi apparatus In addition to being the two most abundant SV proteins, sybII and synaptophysin also form a complex together The functional role of the sybII\u2013synaptophysin complex has been investigated by a number of groups. It was established from an early stage that the interaction of sybII with synaptophysin was mutually exclusive to its interaction with other SNARE proteins per se.The sybII\u2013synaptophysin interaction has also been proposed to mediate targeting of sybII to SVs. Studies in either heterologous expression systems or primary neuronal culture demonstrated that the overexpression of sybII resulted in either its increased expression at the plasma membrane or mislocalization from nerve terminals The fact that synaptophysin can rescue mistargetted exogenous sybII and that it displayed an increased association with sybII following stimulation suggests that synaptophysin may participate in sybII retrieval during SV endocytosis. In agreement, synaptophysin knockout neurons in culture display a de-enrichment of endogenous sybII from their nerve terminals, and a stranding of the genetic reporter sybII-pHluorin on their plasma membrane The profound defect in sybII retrieval in synaptophysin knockout mice suggests that there could be subsidiary consequences for SV recycling. The most obvious would be a perturbation in neurotransmitter release, due to a lack of sybII on SVs. However, original studies in synaptophysin knockout mice found no obvious defects in evoked neurotransmission Ablation of sybII expression at the genomic level results in a slowing in the rate of SV endocytosis Caenorhabditis elegans, where mutants of the AP-180 homolog Unc-11 resulted in increased plasma membrane sybII SybII has no canonical endocytosis motifs to mark it for recognition and internalization via classical adaptor protein complexes such as AP-2. Instead its retrieval is mediated by the monomeric adaptor protein AP-180. This requirement was first suggested in Another recently identified sybII trafficking molecule is the SV-associated protein \u03b1-synuclein. \u03b1-Synuclein is a small nerve terminal-enriched soluble protein with an N-terminus that forms an amphipathic helix when bound to membrane Research over the past few years have therefore identified a number of proteins essential for sybII traffic. Due to their discrete and complementary function in facilitating the movement of this key molecule, we have termed them Sybtraps.The primary role of the Sybtraps is to ensure that sybII is delivered to the exact location in the correct conformation with high temporal precision. These events are likely to be pivotal in ensuring the high fidelity of neurotransmission. There is now sufficient experimental evidence from multiple independent studies to generate a working model that explains the co-ordinated trafficking of sybII by Sybtraps .trans-SNARE complexes by presenting vesicular sybII in the optimal conformation to interact with the plasma membrane SNAP-25/syntaxin1A dimer In resting nerve terminals sybII is complexed with synaptophysin on the SV. It is possible that sybII may also simultaneously bind \u03b1-synuclein, since both synaptophysin and \u03b1-synuclein interact with sybII at independent sites. However, as mentioned above, peptides encompassing the \u03b1-synuclein interaction site displace synaptophysin from sybII cis-SNARE complex in the plasma membrane is disassembled by the combined actions of NEM-sensitive factor and soluble NSF-attachment proteins cis-SNARE complexes, since these complexes are extremely stable with a very low rate of spontaneous dissociation cis-SNARE complexes, allowing t-SNAREs to remain available to receive fusogenic SV-located sybII. Although synaptophysin is displaced from sybII by t-SNARES when in SVs Following SV fusion, the cis-SNARE complexes in the plasma membrane by synaptophysin is that it should maintain monomeric sybII in a preferred conformation for recognition by the endocytosis machinery , which is implicated in Alzheimer's disease pathogenesis, interferes with the synaptophysin-sybII interaction The two most abundant proteins on the SV, sybII and synaptophysin have received divergent degrees of attention over the past 30\u2009years. The key role played by sybII in evoked neurotransmitter release has lead to the intense study of its molecular mode of action. Conversely after initial studies showing little overt phenotype in knockout mice, research into synaptophysin waned for a number of years. The discovery that synaptophysin belonged to a growing class of sybII trafficking partners, the Sybtraps, has revitalized research into its function and in doing so have revealed the critical role sybtraps perform in ensuring sybII always makes it to the correct place, at the correct time and in the correct position."}
+{"text": "The fine control of molecules mediating communication in the nervous system is key to adjusting neuronal signaling during development and in maintaining the stability of established networks in the face of altered sensory input. To prevent the culmination of pathological recurrent network excitation or debilitating periods of quiescence, adaptive alterations occur in the signaling molecules and ion channels that control membrane excitability and synaptic transmission. However, rather than encoding (and thus \u201chardwiring\u201d) modified gene copies, the nervous systems of metazoa have opted for expanding on post-transcriptional pre-mRNA splicing by altering key encoded amino acids using a conserved mechanism of A-to-I RNA editing: the enzymatic deamination of adenosine to inosine. Inosine exhibits similar base-pairing properties to guanosine with respect to tRNA codon recognition, replication by polymerases, and RNA secondary structure . In addition to recoding within the open reading frame, adenosine deamination also occurs with high frequency throughout the non-coding transcriptome, where it affects multiple aspects of RNA metabolism and gene expression. Here, we describe the recoding function of key RNA editing targets in the mammalian central nervous system and their potential to be regulated. We will then discuss how interactions of A-to-I editing with gene expression and alternative splicing could play a wider role in regulating the neuronal transcriptome. Finally, we will highlight the increasing complexity of this multifaceted control hub by summarizing new findings from high-throughput studies. A receptor ion channels modulates agonist potency and receptor gating properties to tune inhibition is not known. Base changes via RNA editing expand on the central dogma of molecular biology by readjusting the genetic code at the RNA level in order to substitute amino acids . The relatively high inosine content of brain mRNA is silenced by a sequence element, which is weakened either by RNA editing -specific alternative splicing factor Nova1, reduces its degradation by the proteasome thereby increasing Nova1 protein levels required for efficient editing activity following 5-HT2C activation might increase activity of nascent ADAR2 protein and account for some of the feedback onto 5-HT2C receptor editing (Schmauss et al., 6 in neurons are rate-limiting for ADAR2 activity. Post-translational modifications have also been shown to regulate ADAR protein function or abundance, including SUMOylation, phosphorylation-dependent propyl-isomerization and ubiquitination (Desterro et al., The mechanisms underlying editing regulation are currently unclear. These partly involve changes in ADAR levels (Balik et al., The lack of a clear signature for potential editing sites in gene sequence was limiting for the identification of new RNA editing sites (Hoopengardner et al., in vivo more routinely (J\u00e4rver et al., As the discovery of new editing sites continues, so does the need to understand their function, and regulation, in maintaining normal neurophysiology and in mediating adaptability during neuronal plasticity. It is increasingly apparent that the impact of ADARs is widespread, diverse, and under dynamic control, thus the need to dissect the functions of individual editing sites is apparent. Animal models are going some way to achieve this and their contribution to our current understanding have been reviewed (e.g., Rula and Emeson, The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "The prospect of eliminating onchocerciasis from Africa by mass treatment with ivermectin has been rejuvenated following recent successes in foci in Mali, Nigeria and Senegal. Elimination prospects depend strongly on local transmission conditions and therefore on pre-control infection levels. Pre-control infection levels in Africa have been mapped largely by means of nodule palpation of adult males, a relatively crude method for detecting infection. We investigated how informative pre-control nodule prevalence data are for estimating the pre-control prevalence of microfilariae (mf) in the skin and discuss implications for assessing elimination prospects.We analyzed published data on pre-control nodule prevalence in males aged \u226520 years and mf prevalence in the population aged \u22655 years from 148 African villages. A meta-analysis was performed by means of Bayesian hierarchical multivariate logistic regression, accounting for measurement error in mf and nodule prevalence, bioclimatic zones, and other geographical variation. There was a strong positive correlation between nodule prevalence in adult males and mf prevalence in the general population. In the forest-savanna mosaic area, the pattern in nodule and mf prevalence differed significantly from that in the savanna or forest areas.We provide a tool to convert pre-control nodule prevalence in adult males to mf prevalence in the general population, allowing historical data to be interpreted in terms of elimination prospects and disease burden of onchocerciasis. Furthermore, we identified significant geographical variation in mf prevalence and nodule prevalence patterns warranting further investigation of geographical differences in transmission patterns of onchocerciasis. Onchocerca volvulus worm in the skin, which can be detected in a skin snip . Because this method is considered invasive, pre-control infection levels in Africa have been mapped mostly by means of palpation of subcutaneous nodules (protuberances under the skin where the adult worms live) in adult males, a relatively crude but non-invasive method of detecting infection. We developed a tool to derive estimates of pre-control mf prevalence from available pre-control nodule prevalence estimates. This tool can help evaluate ongoing control programs, help assess local elimination prospects, and help estimate levels of disease due to onchocerciasis by linking pre-control nodule palpation data to the large body of literature on the association between mf prevalence and disease.Until recently, elimination of onchocerciasis (river blindness) from Africa by mass treatment with ivermectin alone was deemed impossible. However, recent reports of elimination of onchocerciasis from various African foci have stimulated renewed interest. An important determinant of achieving elimination is the pre-control microfilarial (mf) prevalence, i.e. the percentage of people with larval stages of the In 1995, the World Health Organization launched the African Programme for Onchocerciasis Control (APOC). At that time, APOC aimed to control morbidity due to onchocerciasis (river blindness) in Africa, with a focus on those countries not covered by the previous Onchocerciasis Control Programme in West Africa (OCP). Since 1995, APOC has successfully coordinated mass treatment with ivermectin in sixteen onchocerciasis-endemic African countries Onchocerca volvulus worms in a sample of 30\u201350 males aged \u226520 years in villages selected using a standardized selection procedure Pre-control infection levels are an important predictor of morbidity levels We present a statistical model describing the association between pre-control nodule prevalence in adult males and pre-control mf prevalence in the general population. Quantitative relationships for this association have been previously described, but were based on smaller number of surveys, did not provide estimates of uncertainty around parameter estimates and model predictions, and did not account for geographical variation or the relatively small sample sizes routinely used for the nodule palpation method, resulting in attenuation bias We analyzed original data on pre-control nodule prevalence in adult males and mf prevalence in the population aged five years and above from 148 villages in seven geographical areas including countries in the former OCP area, and foci in Cameroon, Nigeria, and Uganda, which are part of APOC . Most ofThe association between village-level mf prevalence and nodule prevalence was quantified in a meta-analysis by means of hierarchical multivariate logistic regression, i.e. logistic regression where the predicted outcome is a set of correlated binary random variables rather than a single binary random variable. A hierarchical approach was taken to account for unmeasured sources of variation between geographical areas. A multivariate approach was taken to account for measurement error in each measure of infection. This approach prevents regression of model coefficients towards zero (attenuation bias) as we do not have to assume that there is no measurement error in the explanatory variable , an assumption inherent to univariate regression m binary outcomes:m-th binary outcome among i-th unit (village) and the j-th cluster . The error terms m components) represent the variation (random effects) in infection levels within and between the j geographical areas, respectively. For each village there is a set of observed covariates m predicted binary outcomes there is a set of parameters m components of the error term at each level of analysis. See supplementary We extended the ordinary hierarchical logistic regression model to a multivariate model simultaneously predicting To account for measurement error due to misclassification of nodules , we added parameters to the model for specificity and sensitivity of nodule palpation, allowing these to be estimated from the data. Prior information for parameter values was based on the literature. A wide range of values is reported for specificity (60%\u201399%), based on various definitions Based on the model described above, we estimated the conditional distribution of mf prevalence in a hypothetical village outside the dataset, given an estimate of the \u2018true\u2019 nodule prevalence in adult males (i.e. corrected for misclassification of nodules). We assumed that nodule prevalence estimates were based on a sample of 30 adult males, the minimal sample size used in REMO surveys http://mcmc-jags.sourceforge.net). Simulations in JAGS were set up and analyzed in R (version 2.14.2) rjags and R2jags . Improvements in model fit by addition of parameters were assessed via the deviance information criterion (DIC), a generalization of Akaike's information criterion for hierarchical models The model was fitted to the data in a Bayesian framework. Posterior distributions of parameters and predictions were simulated in JAGS , and the median mf prevalence in the population aged five years and above was 74% (4%\u201399%). The median sample size for nodule prevalence in a village was 42 (range: 9\u2013181). The median sample size for mf prevalence in a village was 167 (33\u2013727).Nodule prevalence in adult males was strongly positively correlated with mf prevalence in the general population . There wer areas . After t dataset .Mixed posterior predictive checks showed that the model fitted well to the data . Only thWe investigated the association between pre-control nodule prevalence in adult males (aged \u226520 years) and pre-control mf prevalence in the general population (aged \u22655 years). Our model is the first to examine geographical variation due to bioclime and other unmeasured variables, and to take account of measurement error in nodule prevalence. Our results show that there is a strong positive correlation between nodule and mf prevalence, but also significant variation between geographical regions, which should be taken into consideration when evaluating the prospects of elimination and the burden of disease.Our analysis showed significant geographical variation in patterns of nodule and mf prevalence, though not related to bioclimatic zones according to the classic forest vs. savanna classification of onchocerciasis. In \u2018forest\u2019 areas \u2013 Leki\u00e9, Cameroon (degraded forest) and Kigoyera parish, Uganda (forest) \u2013 the patterns in nodule and mf prevalences did not differ much from the pattern in savanna areas. Yet, we found that mf prevalence levels in the general population were relatively higher in the only forest-savanna mosaic area , while nodule prevalence in adult males levels were not significantly different. There are several possible explanations for this pattern. Most likely, the pattern in Mbam is explained by a different pattern in age-dependent exposure to black flies' bites. Both mf and nodule prevalences in individuals under the age of twenty years were relatively high in Mbam compared to the other areas in Cameroon, especially in villages with relatively low nodule prevalence in adult males (data not shown). This indicates that individuals in Mbam experience relatively high exposure levels at a young age. This might be explained by the presence of dense forest in this region with relatively few narrow open spaces, which is associated with higher dispersal of flies around the breeding sites Our model could be used as a tool for assessing the prospects of elimination of onchocerciasis or the burden of onchocercal disease when pre-control nodule prevalence in adult males is the only measure of infection available (as is the case for most of Africa). With our model, an estimate of pre-control mf prevalence may be derived from pre-control nodule prevalence data. Such an estimate may be helpful for program planning, providing an indication of minimum program duration (with regard to prospects of elimination), and could be helpful in the interpretation of ongoing epidemiological parasitological surveys that rely on the skin snipping method (in terms of progress towards elimination). Prospects of elimination may be evaluated by comparing the model-derived estimate of mf prevalence to known trends of infection levels in other foci with a similar history of mass treatment, or by means of dynamic modeling of the effect of mass treatments with ivermectin using onchocerciasis transmission models such as ONCHOSIM In conclusion, we provide a tool to convert nodule prevalence in adult males to mf prevalence in the general population, which accounts for uncertainty due to measurement error and geographical variation. This tool allows interpretation of a large amount of pre-control data on levels of infection in Africa which may a) be combined with information on coverage of mass treatment to assess the feasibility of elimination of onchocerciasis and b) enable estimation of disease burden. Furthermore, we identified significant geographical variation in mf prevalence and nodule prevalence patterns that warrants further investigation of age-dependent transmission patterns of onchocerciasis.Table S1Weights used to standardize mf prevalences.(DOC)Click here for additional data file.Table S2Parameter estimates of the model, based on Bayesian hierarchical multivariate logistic regression.(DOC)Click here for additional data file.Text S1Detailed description of the statistical model, and the methods used to estimate the model parameters with an explanation of how the model should be applied to data outside the current study, and providing the code that was used to specify the model in JAGS.(PDF)Click here for additional data file."}
+{"text": "In trials of physical and talking therapies or group administered treatments, clustering of patients within care-provider or treatment group has implications for sample size and statistical analysis analogous to those found in cluster randomised trials . BetweenIn trials with treatment related clustering, the cluster size may differ systematically between treatment arms, due to differing number of therapists in each arm or differences in the size of therapy groups between arms. The intra-cluster correlation due to therapist or therapy group may also differ between treatment arms. An extreme case of such heterogeneity is the partially nested design in which the clustering effect is absent in one treatment arm. Where both cluster size and the underlying variance components differ between treatments, failure to correctly model heterogeneity can bias estimates of the intra-cluster correlation coefficient and test size . This coIn a cluster randomised trial, it is generally assumed that each subject belongs to just a single unit of randomisation so that the design is hierarchical. In non-pharmacological therapy trials patients may receive treatment from more than one therapist or in more than one therapy group so the multilevel model is no longer strictly hierarchical. Statistical analysis will therefore require simplifying assumptions regarding the pattern of clustering such as use of a primary therapist or primary group for each patient or the application of a multiple membership model .In conclusion, analysis of trials with treatment related clustering may therefore require more complex methods of analysis than cluster randomised trials."}
+{"text": "Primary small bowel bezoars are rare and cause acute abdomen due to small bowel obstruction (SBO). A 69-year-old Japanese man presented with epigastric pain associated with fullness. Physical examination of the abdomen showed no marked signs of peritoneal irritation. An erect X-ray film of the abdomen showed small bowel obstruction. Computed tomography (CT) showed a dilated small bowel loop proximal to the site of the obstruction. Retrograde double balloon enteroscopy (DBE) was performed and showed yellow, hard bezoars blocking the distal ileum. At surgery, a bezoar was found impacted in the distal ileum, and enterotomy with extraction was performed. After 9 days, the patient was discharged from our hospital in satisfactory condition. DBE also appears to be a safe and useful diagnostic tool in patients with SBO, and the findings of DBE influence the strategy of therapy in patients in whom the cause of SBO could not be determined by conventional radiography. Bezoars are an uncommon cause of small bowel obstruction (SBO) and are usually concretions of foreign material found in the stomach. They most often develop in patients who have undergone gastric surgery . BezoarsIn this case, we could diagnose small bowel obstruction due to bezoars with DBE.3 and C-reactive protein of 8.0\u2009mg/dL. Other chemistry and liver function tests were normal. An erect X-ray film of the abdomen showed small bowel gas. Contrast examination of the ileus tube showed total obstruction of the ileum with the mass imaging has been reported to be useful for imaging patients with SBO as this modality is very effective for determining the presence or absence of SBO as well as the level and cause of SBO ; howeverIn conclusion, DBE is a feasible method for the management of bezoar-induced intestinal obstruction when performed by a well-trained and experienced surgeon."}
+{"text": "The impairment of immune functions in the elderly (immunosenescence) results in post-vaccination antibody titers that are significantly lower than in young individuals. It is, however, a controversial question whether also the quality of antibodies declines with age. In this study, we have therefore investigated the age-dependence of functional characteristics of antibody responses induced by vaccination with an inactivated flavivirus vaccine against tick-borne encephalitis (TBE). For this purpose, we quantified TBE virus-specific IgG and neutralizing antibody titers in post-vaccination sera from groups of young and elderly healthy adults and determined antibody avidities and NT/ELISA titer ratios . In contrast to the quantitative impairment of antibody production in the elderly, we found no age-related differences in the avidity and functional activity of antibodies induced by vaccination, which also appeared to be independent of the age at primary immunization. There was no correlation between antibody avidity and NT/ELISA ratios suggesting that additional factors affect the quality of polyclonal responses, independent of age. Our work indicates that healthy elderly people are able to produce antibodies in response to vaccination with similar avidity and functional activity as young individuals, albeit at lower titers. The effects of aging on the immune system \u2013 commonly termed \u2018immunosenescence\u2019 \u2013 are multifaceted and impair both innate and adaptive responses TBEV is closely related to yellow fever, dengue, West Nile and Japanese encephalitis virus Despite a strong quantitative impairment of antibody responses in healthy elderly adults our study shows that there is no significant age-dependent difference in the avidities and in the ratios of neutralizing to ELISA-binding activities of antibodies induced by TBE vaccination. These factors were also not affected by the age at primary immunization. Surprisingly, antibody avidity did not correlate with functional activity in both young and old. This ratio, however, was highly variable from person to person and - at least to a certain extent - appears to be an imprinted individual trait, regardless of age.Two panels of serum samples obtained after vaccination with an inactivated whole-virus vaccine were used in our study: Panel A was derived from a booster immunization study in young and old healthy adults conducted at the Institute of Biomedical Aging Research, Austrian Academy of Sciences, in Innsbruck and consisted of 79 pre- and post-booster vaccination sera used previously for determining antibody titers In both studies, participants had no clinically significant diseases, acute infections or health conditions known to affect immune responses and were not under immunosuppressive therapy The studies were approved by the ethics committees of the Medical University of Innsbruck and of the Medical University of Vienna, respectively, and the participants gave their written informed consent.TBEV-specific IgG antibodies were analyzed by ELISA using purified formalin-inactivated TBEV as described previously Neutralization tests (NTs) were carried out in baby hamster kidney cells (ATCC BHK-21) as described previously Avidities of TBEV-specific IgG antibodies were analyzed in an ELISA using purified formalin-inactivated TBEV as described previously Statistical analyses were performed with GraphPad Prism 5 (GraphPad Software Inc.). Logarithmic transformation of the data was carried out to obtain approximate normal distribution of antibody concentrations, avidity values and NT/ELISA ratios. A sample size of 17 volunteers in each group provides a power of 80% to detect a 10% difference in avidities as well as a 20% difference in NT/ELISA ratios following the formula of Dallal for two-sided statistical tests To investigate potential age-dependent differences in the quality and functional activity of antibodies induced by vaccination, we first analyzed a serum panel from a TBE booster vaccination study conducted in young and old adults panel A, with no Avidity is considered to be a crucial parameter of the quality and functionality of antibodies To assess a possible influence of i) the time period before booster and ii) the age at primary immunization on IgG avidities, elderly subjects (range: 51 to 87 years of age at booster vaccination) were stratified by the interval since the last TBE vaccination (\u22645 and >5years) as well The key quality of protective antiviral antibodies is their capacity to bind to epitopes involved in virus neutralization. Infection and vaccination, however, can induce substantial amounts of antibodies that are measurable in in vitro binding assays (such as ELISA) but do not contribute to virus neutralization and protection Although age at primary immunization did not appear to influence the quality of antibody responses, we analyzed whether it had an effect on the amount of booster-induced TBEV neutralizing antibodies. As shown in We could not detect differences in the mean IgG avidities and NT/ELISA ratios between the young and elderly, but some degree of variation of both parameters was observed in both age groups and 2. SThe strong variation of functional antibody activities (NT/ELISA ratios) observed raised tTo determine whether such a phenomenon can already be detected after primary immunization, we analyzed a second panel of sera from a recent TBE immunization study in which the age-dependence of the immune response after primary vaccination (2 doses) and the first booster vaccination (3rd vaccination) was investigated panel B, . SimilarWith both serum panels, the correlation in the elderly was slightly stronger and \u2013 in contrast to the young \u2013 significant. Since, especially in the primary immunization study , fewer sCentral to our work was the question whether the quality of antibody responses to an inactivated whole virus vaccine is impaired in healthy elderly. The data presented demonstrate that neither the avidity of the polyclonal antibodies present in TBE post-vaccination sera nor their functional activity displayed any statistically significant differences in healthy young and old individuals. With respect to avidities, all sera from both age groups had low avidities consistent with values characteristic of robust anamnestic immune responses In the case of TBE vaccination, this impairment was already found for the age group of 50 to 60 year old individuals In addition to quantity, however, it is the quality of antibodies that matters and high avidity binding to the pathogen is considered to be essential for antibody effector functions It is a surprising and intriguing finding of our work that there was no correlation between antibody avidity and functional activity of vaccine-induced antibodies, a trait that was characteristic for both the young and the old age groups. Considering the importance of high-avidity for antibody effector functions Although our analyses did not reveal an overall difference in the avidities and functional activities (NT/ELISA ratios) of post-vaccination antibodies in young and old, we observed a remarkable degree of individual variation of the ratios in both age groups. We interpret these findings as evidence for variations in the composition of antibody subsets as well as their specificities and functionalities between different individuals. Most interestingly, the functional quality of antibody responses appears to be imprinted individually, at least to a certain extent, since we found a positive correlation between the NT/ELISA ratios before and after booster vaccination and also between primary immunization and first booster vaccination. This suggests a tendency for maintaining a \u2018specific antibody profile established during initial priming of the immune response. We have recently shown in a related flavivirus model that certain prime-boost regimens can modulate the ratio of post-vaccination antibody specificities and increase the amount of highly functional antibodies Figure S1Mean TBEV-specific IgG units (A) and neutralizing antibody titers (B) of young (<30) and elderly (>50: range 51\u201387 years of age) TBE vaccinees. Dotted bars: values obtained before TBE booster immunization; white bars: values obtained 4 weeks after TBE booster vaccination. IgG antibodies were determined by ELISA and the functional activity by neutralization tests, using 50% virus neutralization as a cut-off (NT50). (TIF)Click here for additional data file.Figure S2Correlation of avidity and NT/ELISA ratio after TBE booster vaccination in young (A) and elderly (B) individuals. The Pearson correlation coefficients r and the P values are indicated.(TIF)Click here for additional data file."}
+{"text": "A diverse range of study designs (e.g. case-control or cohort) are used in the evaluation of adverse effects. We aimed to ascertain whether the risk estimates from meta-analyses of case-control studies differ from that of other study designs.Searches were carried out in 10 databases in addition to reference checking, contacting experts, and handsearching key journals and conference proceedings. Studies were included where a pooled relative measure of an adverse effect (odds ratio or risk ratio) from case-control studies could be directly compared with the pooled estimate for the same adverse effect arising from other types of observational studies.We included 82 meta-analyses. Pooled estimates of harm from the different study designs had 95% confidence intervals that overlapped in 78/82 instances (95%). Of the 23 cases of discrepant findings , 16 (70%) stemmed from significantly elevated pooled estimates from case-control studies. There was associated evidence of funnel plot asymmetry consistent with higher risk estimates from case-control studies. On average, cohort or cross-sectional studies yielded pooled odds ratios 0.94 (95% CI 0.88\u20131.00) times lower than that from case-control studies.Empirical evidence from this overview indicates that meta-analysis of case-control studies tend to give slightly higher estimates of harm as compared to meta-analyses of other observational studies. However it is impossible to rule out potential confounding from differences in drug dose, duration and populations when comparing between study designs. A variety of study designs are used in the evaluation of adverse effects, and data from these diverse sources may be incorporated into subsequent systematic reviews and meta-analyses The extent of any discrepancy or heterogeneity between the pooled risk estimates from case-control studies and other study designs is a key concern for systematic reviewers. Previous research has tended to focus on differences in beneficial effects To identify studies for inclusion searches were undertaken in 10 key electronic databases to retrieve methodological papers related to any aspect of the incorporation of adverse effects into systematic reviews. These databases were carefully selected to allow the identification of reports, dissertations, and grey literature in addition to journal articles. A list of the databases and other sources searched is given in Due to the difficulty of searching for methodological papers we also undertook handsearching of selected key journals, conference proceedings and web sources, and made contact with other researchers in the field. In particular, one reviewer (SG) undertook a detailed handsearch focusing on the Cochrane Database of Systematic Reviews (CDSR), and Database of Abstracts of Reviews of Effects (DARE) to identify systematic reviews that had evaluated adverse effects as a primary outcome and had a methodological analysis embedded A meta-analysis or methodological evaluation was considered eligible for inclusion in our overview if it included case-control studies and at least one other type of observational study design in the identification and/or quantification of an adverse effect or effects of a health-care intervention. Any healthcare intervention was deemed to be relevant including pharmaceutical interventions, diagnostic procedures, surgical interventions and medical devices. Relevant articles had to provide pooled estimates of the risk (risk ratio or odds ratio) of adverse effects according to different observational study designs.Articles were independently assessed by two reviewers for potential included studies (S.G. and Y.K.L.). Full copies of the articles which were deemed potentially relevant by either reviewer were obtained. These articles were then reassessed and consensus reached after discussion.Information was extracted on, the primary objective of the meta-analysis or methodological evaluation, included study designs, interventions and adverse effects evaluated. The number of primary studies included in the pooled analysis, number of patients by study design and the number of adverse effects observed in the treatment and control arm or comparator group were also recorded as were the type of summary statistic used in assessing differences between studies. We relied on the categorisation of study design as specified by the author of the meta-analysis or methodological evaluation. For example, if the authors stated that they looked at case-control studies and cohort studies, it was assumed that the studies were indeed case-control studies and cohort studies.The following criteria were used to consider the validity of comparing risk estimates across different study designs;Presence of other factors that may have accounted for variation in results between studies of different designsDiscrepancies between the results obtained from different study designs may arise because of confounding factors other than study design . A record was made of whether the authors of the meta-analysis or methodological evaluation reported that they had checked if the groups of different studies shared similar features in terms of population, interventions, comparators, and measurement of outcomes.Heterogeneity in the pooled estimates2 or I2). An indication of heterogeneity of each set of pooled estimates by study design was assessed using a cut-off point of P<0.10 for Chi2 test results and 50% for I2 results 2 test were given precedence A record was made of whether the authors of the meta-analysis or methodological evaluation explored heterogeneity amongst the primary studies and checked by a second reviewer (Y.K.L.). All discrepancies were resolved after going back to the original source papers, with full consensus reached after discussion.We checked for potential discrepancy between the pooled odds ratios (OR) from meta-analyses of different study designs by (i) quantitatively and graphically comparing the ratio of the pooled odds ratios from each study design, and (ii) comparing the separate point estimates and overlap in confidence intervals. Because adverse effects are rare, ORs and RRs were treated as equivalent In order to quantitatively describe the extent of discrepancy between study designs, we calculated the ratio of odds ratios (ROR) by taking the pooled OR for the adverse outcome from one study design divided by the pooled OR for the adverse outcome from another study design. If the meta-analysis of one study design for a particular adverse effect yielded exactly the same OR as the meta-analysis of another study design , then the ROR would be 1.0 (and Ln ROR\u200a=\u200a0) The estimated RORs from each \u2018cohort vs. case-control study\u2019 comparison were then combined in a meta-analysis and OR were calculated from the published 95% CI Funnel plots were constructed to evaluate the distribution of the ROR against estimates of precision (1/SE) We also provide a descriptive summary of the data in terms of confidence interval (CI) overlap between pooled sets of results by study design, and any differences in the direction of effect between study designs. The results were said to agree if both study designs identified a significant increase, a significant decrease or no significant difference in the adverse effects under investigation.6218 unique records were retrieved from the electronic database searches and 86 records from additional sources . In totaA further 22 articles compared RCTs with observational studies (in some instances using the incidence of adverse effects \u2013 without reporting RR/ORs) We therefore included 29 eligible articles which contained a total of 82 meta-analyses where it was possible to compare the pooled risk estimates from case-control studies against that of cohort or cross-sectional studies. Some articles included more than one meta-analysis, usually for the same adverse effect but with slight variations in the intervention, for example with different drug dosages, exposure times or different drugs within the same class. The 82 meta-analyses included a total of 521 case-control studies, 302 cohort studies, and 38 cross-sectional studies , table 1Only one of the 29 articles was a methodological evaluation with the primary aim to assess the impact of study design Most focused on adverse effects of pharmacological interventions Although many of the methodological evaluations acknowledged the potential for confounding factors that might yield discrepant findings between study designs, no adjustment for confounding factors was reported in most instances 2 or I212 reviews measured the heterogeneity of at least one set of the included studies grouped by study design using statistical analysis such as ChiAuthors of four reviews explicitly tested for a difference between the results by study design using p-values The calculated differences between study designs (ROR) for each adverse effect were summarized together in a random effects model to give an average picture of the extent of discrepancy . On averOverall, the pooled ROR of 0.94 (95% CI 0.88\u20131.00) from the study design comparisons shows that on average, meta-analyses of meta-analyses of cohort and cross-sectional designs gave odds ratios that were a relative 6% lower than those from meta-analyses of case-control studies. Although the differences between study designs did not reach conventional threshold of statistical significance, the low to moderate heterogeneity seen overall is an indicator that there may be consistent pattern of variation between study designs.Visual inspection of the Funnel Plot and resuThe confidence intervals for all the pooled results from case-control studies and cross-sectional studies overlapped, and almost all the confidence intervals (CIs) for the pooled results from case-control studies and cohort studies overlapped .In most of the reviews the results of the adverse effects estimates agreed between types of study design The tendency for case-control studies to show greater degree of harm is illustrated by the 16 adverse effects where meta-analyses of case-control studies found significantly elevated risk, but meta-analyses of cohort or cross-sectional studies did not confirm this risk. Conversely, there were 7 adverse effects where meta-analyses of cohort or cross-sectional studies demonstrated significantly elevated risk, but meta-analyses of case-control studies did not show significant risk.There was one major discrepancy in one pooled sets of results. Grady et al 1995 There are no adverse effects where two or more separate meta-analyses have used exactly the same primary studies, (i.e. had complete overlap of case-control and cohort studies) to generate the pooled estimates. This reflects the different time periods, varying search strategies and inclusion and exclusion criteria that have been used by authors of these meta-analyses such that even though they were looking at the same adverse effect, they used data from different studies in generating pooled overall estimates.There were three adverse effects that were evaluated in more than one review; venous thromboembolism (VTE), gastrointestinal complications and stroke. In the few instances where adverse effects were described in more than one review, sensitivity analysis limiting it to one review per adverse effect showed similar ROR .We found that on average, meta-analysis of case-control studies tended to give slightly higher estimates of harm as compared to cohort or cross-sectional studies. This finding was reflected in the asymmetrical shape of the funnel plot showing that the direction of the discrepancies (as estimated by the RORs) were more frequently due to relatively higher estimates of harm from case-control studies. Alternatively, this could be interpreted as cohort studies being more susceptible to underestimating the extent of harm. This is illustrated by our finding of 16 adverse effects where case-control studies showed significant harm but cohorts and case-controls did not. Conversely there were seven adverse effects where the opposite was true, with case-control studies showing no increase in risk, whereas the other observational designs found significant likelihood of harm. Given that observational study designs are important data sources on rare adverse effects, we recommend that readers of medical journals, as well as systematic reviewers should evaluate consistency of findings across a broad range of study designs when considering rare harms.An explanation for the tendency for slightly higher estimates of harm from case-control studies is difficult to ascertain. However, there are a number of possible reasons. Firstly, this could be a spurious result as the values for the ROR do not reach statistical significance. Nevertheless, the asymmetrical funnel plot does demonstrate a fairly consistent discrepancy between cohort studies compared to case-control studies. One important factor here may stem from the potentially greater ability of case-control studies to enrol sufficient numbers of patients who are known to have experienced a rare adverse event, thus yielding more statistical power to detect small, but significant risk of harm Equally, discrepancies between study designs could have stemmed from confounding as a result of variation in characteristics of participants, timing and site of study, and definitions of exposure and outcomes. For instance, if one set of studies are carried out on a younger cohort of patients, with a lower drug dosage, or with shorter duration of use, or relied on passive ascertainment of adverse effects data Finally, differences in observed and unobserved patient characteristics may have accounted for discrepancies between designs. The extent of statistical adjustment for potential confounders in observational studies depends somewhat on which variables were measured in the primary dataset. Given the different starting points in data collection between case-control and cohort studies, the effect of unmeasured confounders may afflict either design to dissimilar extents.Our previous work showed that meta-analyses of RCTs versus cohort studies showed little discrepancy ROR 1.02 (95% CI 0.82\u20131.28) whereas meta-analyses of RCTs versus case-controls showed a greater discrepancy with a ROR of 0.84 (95% CI 0.57\u20131.23), thus indicating that case-control studies give higher estimates of harm when compared to RCTs. Given that cohort studies showed similar risk of harm compared to RCTs, it can be indirectly inferred that case-control studies also provide a higher risk of harm when compared to cohorts. Our current analysis would be entirely consistent with the previous findings.Our overview was constrained by information and data contained in the included evaluations as it was not straightforward to source and evaluate the >850 primary studies contained in the meta-analyses. In each instance the authors\u2019 categorisation of the study design was used. However, we note that most of the included reviews had passed DARE criteria or were from peer-reviewed sources i.e. both the primary study and the systematic review had undergone peer-review. Moreover, any misclassification is likely to be non-differential in impact, which should not lead to elevated risk estimates from any particular study designs.Another important limitation to this review is the potentially unrepresentative sample used. Systematic reviews with embedded data comparing different study designs may have been missed. The search strategy used was limited to a literature search to identify methodological papers whose primary aim was to assess the influence of study design and to a sift of systematic reviews of adverse effects identified from the Cochrane Database of Systematic Reviews (CDSR) and Database of Abstracts of Reviews of Effects (DARE). Nevertheless, it should be noted that the CDSR and DARE databases cover a large proportion of all systematic reviews and that systematic reviews in which adverse effects are included as a secondary aim are unlikely to present subgroup analysis by study design for the adverse effects data.There was considerable heterogeneity between the comparisons of different studies, suggesting that any differences could be specific to particular types of interventions or adverse effects. It may be that particular types of adverse effects can be identified more easily via particular types of study designs 85 have already looked at methods of signal generation for detecting new adverse events in 10 observational databases, and extending this approach to signal refinement or hypothesis testing should clearly be feasible.In the light of our findings, we believe that regulatory authorities, as well as interested patients and physicians, who appraise articles on adverse effects, should look carefully at the study designs involved, and be aware of potential differences in whether the particular design may tend to provide relatively higher or lower estimates on risk of harm. The differences between study designs are most apparent when the meta-analysis only has a few studies, thus suggesting that we should be particularly cautious in trusting single studies of rare harms. Further research should evaluate the impact of different study designs across a wide range of adverse effects in multiple databases. As an example, Ryan et al 2012Our overview also has important implications for the conduct of systematic reviews of harm, particularly with regards to selection of a broad range of relevant studies. Although there are strengths and weaknesses to each study design, empirical evidence from this overview indicates that there are slight differences (on average) between estimates on the risk of adverse effects obtained from meta-analyses of different observational study designs. Instead of restricting the adverse effects analysis to certain study designs , it seems preferable for systematic reviewers to evaluate a broad range of studies that can help build a complete picture of any potential harm and improve the generalisability of the review without loss of validity.Appendix S1Search strategy and Data Sources.(DOCX)Click here for additional data file.Appendix S2Characteristics of Included Studies.(DOCX)Click here for additional data file.Appendix S3Excluded Studies and Reasons for Exclusion.(DOCX)Click here for additional data file.Appendix S4Selection of outcomes and handling of duplicate data.(DOCX)Click here for additional data file.Appendix S5Forest Plot: meta-analysis of RORs from cohort/cross-sectional studies versus case-control studies.(DOCX)Click here for additional data file.Appendix S6Funnel plot of distribution of RORs from (i) meta-analyses of cohort studies compared to case-control studies (ii) meta-analyses of cross-sectional studies compared to case-control studies.(DOCX)Click here for additional data file.Appendix S7Sensitivity analysis based on exclusion of meta-analyses covering the same adverse effect where there is some overlap in the included primary studies.(DOCX)Click here for additional data file."}
+{"text": "Classical physiology teaches that vagal post-ganglionic nerves modulate the heart via acetylcholine acting at muscarinic receptors, whilst it is accepted that vagus nerve stimulation (VNS) slows heart rate, atrioventricular conduction and decreases atrial contraction; there is continued controversy as to whether the vagus has any significant direct effect on ventricular performance. Despite this, there is a significant body of evidence from experimental and clinical studies, demonstrating that the vagus nerve has an anti-arrhythmic action, protecting against induced and spontaneously occurring ventricular arrhythmias. Over 100\u00a0years ago Einbrodt first demonstrated that direct cervical VNS significantly increased the threshold for experimentally induced ventricular fibrillation. A large body of evidence has subsequently been collected supporting the existence of an anti-arrhythmic effect of the vagus on the ventricle. The development of prognostic indicators of heart rate variability and baroreceptor reflex sensitivity\u2014measures of parasympathetic tone and reflex activation respectively\u2014and the more recent interest in chronic VNS therapy are a direct consequence of the earlier experimental studies. Despite this, mechanisms underlying the anti-arrhythmic actions of the vagus nerve have not been fully characterised and are not well understood. This review summarises historical and recently published data to highlight the importance of this powerful endogenous protective phenomenon. Sudden cardiac death (SCD) resulting from malignant ventricular arrhythmias including ventricular tachycardia (VT) and ventricular fibrillation (VF) represents a significant unsolved clinical problem with an annual death toll of over 325 000 people in the USA (Heart Rhythm Foundation ) and aroThere is strong evidence that the relationship between impaired neurocardiological control and increased mortality is the result of an increased vulnerability to lethal ventricular arrhythmias . Whilst There is a strong correlation between survival and \u2018markers\u2019 of parasympathetic tone in patients with HF irrespective of \u03b2-blocker therapy \u201313 or foSeveral small- and large-scale clinical trials have demonstrated the predictive value of BRS and HRV in patient populations. An early prospective clinical study reported that a low BRS was significantly associated with greater all-cause mortality , and a sThe dogma of physiology teaching states that vagal post-ganglionic nerves modulate the heart through acetylcholine (ACh) acting on muscarinic receptors (mAChRs) to slow heart rate, increase atrioventricular conduction and inhibit atrial force, with little influence on ventricular performance. The latter reflects historical reports that ventricular parasympathetic (cholinergic) innervation was sparse. This view is, however, outdated because modern histological techniques reveal a dense and intricate network of ACh containing nerves running over the epi- and endo-cardial surfaces of left and right ventricles and a widespread distribution of mAChRs throughout the ventricle . More imThe somata of the parasympathetic efferent pre-ganglionic neurones arise chiefly from the ventral lateral region of the nucleus ambiguous, and a smaller proportion from the dorsal motor nucleus and intermediate zone between these sites . Pre-ganheart brain, reviewed by Armour [There is a complex network of neuronal subtypes within the ganglionated plexuses which can modulate the heart on a beat-by-beat basis that can act independent of peripheral input . The roly Armour , is an ey Armour and thaty Armour .1\u2013M5) have been described, and 3 subtypes are found within the heart [2 receptor and is found on cardiomyocytes [2 receptor subtype is predominantly responsible for regulating cardiac function [i-protein mediated direct action on ACh-dependent ion channels such as IKAch and indirect effects on inhibition of adenylate cyclase activity that reduces intracellular cAMP. cAMP is known to stimulate the non-selective cationic current (If) which drives spontaneous depolarisation of pacemaker tissues such as the sinoatrial and atrioventricular nodes and purkinje fibres. The activation of the IKACh results in membrane hyperpolarisation, increasing the cells threshold for firing which contribute to heart rate reduction. M3 and M4 ACh receptors are [Post-ganglionic vagal fibres are primarily cholinergic in nature releasing ACh which act on mAChRs. Five distinct mAChRs subtypes (M and M4) \u201346. The myocytes and withmyocytes . Evidencfunction through tors are . It is tTable\u00a0The first report that VNS reduced the susceptibility of the ventricle to experimental arrhythmia was presented by Einbrodt in 1859 , who demA number of studies have shown that VNS prevents arrhythmias as a result of CAO. Myers et al. investigAn elegant canine model of SCD developed by Peter Schwartz and colleagues has been used extensively to study the protective effect of the vagus in conscious animals aimed at circumventing the confounding influence of anaesthetics , 59, 60.direct anti-arrhythmic effect which is separate from the indirect action concerning antagonism of adrenergic effects (accentuated antagonism), which is evident from single cells studies using pharmacology investigating the effects on individual ionic currents from heart failure preparations [The onset of VF is believed to be associated with the break-up of spiral waves or rotors into multiple wavelets and oscillations in electrical activity . One mecarations .Fig.\u00a02Audirect effects of VNS are not possible. VFT provides a quantifiable and robust measure of arrhythmia susceptibility, allowing that the examination of how physiological, pathophysiological and pharmacological factors can affect electrical stability in addition to effects from nerve stimulation. VFT is widely used for the study of arrhythmia susceptibility and has been shown to predict the increased and decreased susceptibility of the ventricle to arrhythmias in a range of situations [The use of \u2018spontaneous\u2019 and induced methods of arrhythmia occurrence is a contentious issue that warrants discussion. CAO represents one of the most common methodologies to generate arrhythmias which rely on spontaneous arrhythmia generation. Studies utilising CAO often use quantitative measures of arrhythmic events, that is, number of premature ventricular contractions (PVCs), VT and VF or the time course of these events. A disadvantage of this approach is the stochastic nature of arrhythmic event occurrence. The development of the canine model of SCD addressed many of the issues of reproducibility . Howevertuations , 66, 70.tuations . Howevertuations have demtuations , 56.Data on the use of vagal stimulation in the treatment for arrhythmia secondary to HF are somewhat limited despite the fact that ventricular arrhythmias are responsible for a large proportion of SCDs and that arrhythmic disturbance, that is, ectopic beats or runs of non-sustained ventricular tachycardia, occurs in 50\u201380\u00a0% of all HF patients , 74. TheIn addition to its anti-arrhythmic properties, chronic VNS has been shown to reverse the contractile dysfunction and adverse remodelling associated with experimental HF \u201384 and aVagal stimulation modulates ventricular arrhythmias by a number of direct and indirect actions including activation of muscarinic receptors, antagonism of sympathetic actions, heart rate reduction, prolonged APD and reduced APD dispersion, effects on restitution/refractoriness, and possibly via nitric oxide (NO). Several theories describe how alterations in cardiac electrophysiological parameters may influence the generation and propagation of ventricular arrhythmias. Table\u00a0Interaction between the sympathetic and parasympathetic branches of the autonomic nervous system is complex. Competitive antagonism between autonomic divisions provides an important site of regulation. Samaan first il3) and M2 receptors on cardiomyocytes to inhibit noradrenaline (NA) release and/or accumulation of intracellular cAMP, respectively [Interaction between the sympathetic and vagal systems occurs via pre- and/or post-junctional mechanisms. ACh binds to mAChRs, on the pre-synaptic sympathetic nerve terminals versus ventricular (decreased) [3 receptors reduces the occurrence of ischaemia-, aconitine- and ouabain-induced ventricular arrhythmias [3 mAChR gene reduces the occurrence of spontaneous arrhythmias in a mouse model of ischaemia reperfusion [3 receptor in regulating cardiac repolarisation and cell-to-cell communication is particularly relevant to the discussion of ventricular arrhythmia susceptibility. The M3 receptor activation can stimulate the potassium channel IKM3 [3 activation reduces calcium overload in ventricular myocytes, and it has been proposed that this action mediates its protective action in ischaemia-induced arrhythmias [3 receptor appears to regulate the expression of phosphorylated connexin-43 (Cx43), a gap junction channel protein highly expressed in ventricular tissue and reduced in ischaemia and HF. Efferent vagal nerve stimulation may protect the heart form ischaemia-induced arrhythmias by preventing a reduction of phosphorylated Cx43 associated with ischaemia [Since the discovery of a functional Ml et al. , there hcreased) . Pharmachythmias . Furthererfusion . The rolnel IKM3 , which hnel IKM3 . Studieshythmias . In addischaemia . Similarschaemia .3 activation oppose those of the M2 receptor, to enhance contractility and increase heart rate [3 receptor promotes arrhythmias in atrial tissues but suppresses ventricular arrhythmias (a likely result of opposing effects on repolarisation time course), which may indicate difference in the distribution of the mAChRs throughout the myocardium or regional variations in ion channel expression . Importantly, the expression of M3 appears to be increased in hearts from patients with congestive heart failure [3 receptor, its contributions to the action of the vagus nerve remain to be elucidated.Evidence from studies in gene knockout mice suggests that the effects of Mart rate . It is r failure . Whilst f), [An obvious consideration when stimulating the vagus nerve is the resulting bradycardia. Some studies suggest that the anti-arrhythmic influence of the vagus nerve is reduced but not abolished when the heart rate is controlled , 56, 58.f), though if), .A common finding of clinical trials on HF is a negative correlation between heart rate and patient survival and the ability to increase heart rate in response to exercise . The relThe relative importance of bradycardia as a protective mechanism is unclear and contrasts with our findings that the effects of VNS are preserved during constant ventricular pacing. VNS still has a profound effect on ventricular electrophysiology during constant pacing, reducing susceptibility to VF . StudiesAnother important concept in the generation of ventricular arrhythmias is that of action potential duration dispersion. Spatial repolarisation heterogeneity provides a substrate for the generation of ventricular arrhythmias, and dispersion of APD is a known mechanism underlying circus movement re-entry around refractory regions . AlthougThe biosynthesis and multitude of biological functions of nitric oxide (NO) have been reviewed extensively elsewhere \u2013127. OurIt is widely accepted that NO is involved in both central and peripheral aspects of vagal control, not only in terms of cardiac function but also in other bodily systems such as the GI tract . In the l-Arginine, the NO substrate which competes with L-NA for binding to NOS. This anti-arrhythmic effect of NO is supported by the work of Kumar et al. [After confirming the anti-VF effect of VNS together with an increase in ERP and reduction in the slope of the restitution curve, we perfused the innervated heart preparation with the non-specific nitric oxide synthase (NOS) inhibitor L-NA and investigated the effects of VNS. In the presence of L-NA, the increase in VFT and flattening of electrical restitution slope with VNS were abolished whilst the increase in ERP was preserved see Fig. The resr et al. , who demr et al. . These dAlthough the aforementioned study provides basis for a working hypothesis for NO in mediating the ventricular effects of the vagus, it provided only indirect evidence of this mechanism. Through the use of the NO-sensitive dye DAF-2 DA, we were able to provide direct evidence of VNS-mediated NO release . NO-depeMore recently, we have extended these findings to show that these effects of the vagus do not occur through activation of mAChR\u2019s since perfusion with atropine at a concentration sufficient to block changes in heart rate and ERP did not influence the vagal effect on DAF-2 fluorescence, the reduction of the slope of the electrical restitution curve or increase in VFT . In addiIt has previously been suggested that vagally released ACh and NO can act through parallel independent signalling pathways . Given oNOS expression is found in endothelial cells, myocytes and neuronal cells, and it regulates a huge range of biological functions in a manner which appears to be dependent upon location \u2013127. TheIt is recognised that direct neurochemical stimulation of decentralised intrinsic cardiac neurones can generate atrial and ventricular arrhythmias and thatSensory (or afferent) nerve fibres relay information from the myocardium to the brain for processing, and approximately 70 and 80\u00a0% of the vagus nerve consists of these afferent fibres. Therefore, electrical stimulation of the vagus may capture both afferent and the effector efferent nerves, unless selective stimulation protocols, such as anodal block, are used to exclude a specific population of neurones. The contribution of these distinct populations of nerves to the anti-arrhythmic benefits of VNS is currently unknown. Studies conducted in our laboratory with the innervated rabbit heart show that the protective effect of VNS is not dependent upon the brain, but these experiments do not exclude the existence of additional anti-arrhythmic mechanisms in vivo or afferent reflex responses which can occur locally . An earlAnother mechanism by which the parasympathetic nervous system may protect the heart is via an anti-inflammatory action. It has become increasingly evident over the two decades that inflammatory responses can be modulated and feedback into the autonomic nervous system, the so-called inflammatory reflex . LocallyThe role of inflammation in the generation of arrhythmias in HF and following ischaemic injury is not clear, but it is recognised that malignant arrhythmias are more likely in patients with acute and chronic myocarditis , 145. CyThe profound anti-arrhythmic influence of the vagus nerve has provided modern clinical practice with valuable tools for assessing risk in the form of HRV and BRS, and chronic VNS may prove to be a powerful therapy for heart failure. The effects of the vagus nerve on ventricular arrhythmogenesis are multi-faceted involving effects on heart rate, interactions with the sympathetic nervous system, anti-inflammatory influences and a direct effect on ventricular electrophysiology. Our data indicate that the vagus nerve exerts a direct anti-arrhythmic action at the level of the ventricles through the release of NO\u2014a tentative-independent nitrergic neural network regulating cardiac physiology which could potentially offer a novel therapeutic avenue."}
+{"text": "Recently, the RNActive technology has been developed to generate highly active cancer vaccines. The antigen of choice is encoded by a sequence engineered mRNA that increases antigen expression up to 5 orders of magnitude. Immunogenicity of the RNActive vaccines is ensured by a built-in adjuvant function based on complexation of half of the mRNA with protamine that leads to activation of toll-like receptor 7 (TLR7). 5 intradermal administrations of a mRNA vaccine encoding PSA, PSCA, PSMA, and STEAP (CV9103) were tested in phase I/IIa studies in 44 patients with castrate-resistant prostate carcinoma (PCA). The vaccine was well tolerated and induced antigen-specific immunogenicity assessed by ex-vivo assays against all encoded antigens independent of the HLA-profile of patients. The overall immune response rate in evaluable patients was 80 %, close to 60% of these reacted against multiple antigens. In the subgroup of 36 patients with metastatic CRPC a median overall survival of over 30 months was estimated whereas the predicted survival according to the Halabi nomogram was 16.5 months. Patients responding to at least one tumor antigen had a reduced risk to die during the observation period compared to immunological non-responders, although the Halabi-predicted survival of both groups was similar. Responses against multiple antigens seemed to correlate even more strongly with improved survival, with patients reacting against 3 antigens s showing the longest survival. The results of this clinical study demonstrated high immunogenicity paired with a good safety profile for this new prostate cancer vaccine. The apparent correlation of immunogenicity with prolonged survival despite unfavorable patient characteristics according to the Halabi-score suggests a therapeutic effect. CV9104, an advancement of CV9103 encoding two more antigens is currently tested in a randomized, placebo-controlled phase IIb trial with overall survival as primary endpoint. It appears that mRNA based vaccines offer an ideal basis to exploit the potential of nucleotide based cancer vaccines for the benefit of patients. Precise data will be presented at the meeting."}
+{"text": "Anatomic study related to the anterior cruciate ligament (ACL) reconstruction surgery has been developed in accordance with the progress of imaging technology. Advances in imaging techniques, especially the move from two-dimensional (2D) to three-dimensional (3D) image analysis, substantially contribute to anatomic understanding and its application to advanced ACL reconstruction surgery. This paper introduces previous research about image analysis of the ACL anatomy and its application to ACL reconstruction surgery. Crucial bony landmarks for the accurate placement of the ACL graft can be identified by 3D imaging technique. Additionally, 3D-CT analysis of the ACL insertion site anatomy provides better and more consistent evaluation than conventional \u201cclock-face\u201d reference and roentgenologic quadrant method. Since the human anatomy has a complex three-dimensional structure, further anatomic research using three-dimensional imaging analysis and its clinical application by navigation system or other technologies is warranted for the improvement of the ACL reconstruction. Recent progress of the anterior cruciate ligament (ACL) reconstruction procedure and related research largely stems from the increased attention to the restoration of the original anatomy. An accurate evaluation of the native anatomy is critical for achieving anatomic ACL reconstruction. Clinical outcome could be imperfect when the graft placement is not located at an anatomic position , 2. AlsoThe purpose of this paper is to introduce the progression of imaging technology into three-dimensional analysis on various fields of research related to the ACL and to suggest the future direction of ACL-related anatomic studies.Anatomic research investigating the native ACL location has been developed over the last several decades. In 1975, Girgis et al. investigAs anatomic double bundle ACL reconstruction was introduced in the 2000s, meticulous investigations of bony landmarks were conducted to identify useful landmarks which are available under arthroscopy and can be used for precise graft placements. Three-dimensional 3D) CT images contributed to this decade's progress of anatomic research. Purnell et al. demonstrD CT imagThe progress of CT imaging technique from two- to three-dimensional has contributed significantly to the anatomic research of the ACL. Similar progress is still warranted for MRI because of its capacity to evaluate soft-tissue structures.Femoral intercondylar notch width has been often discussed as a risk factor for the ACL injury, but it remains unknown if the narrow notch truly leads to ACL injury. Several studies evaluating intercondylar notch width by X-ray or CT reported narrow notch as a risk factor for the ACL injury \u201352. HousThe development of 3D imaging techniques and increased attention to the anatomic procedure are accompanied with the advanced technology of computers and robots, leading to strong motivation for computer-assisted surgery which could provide real-time imaging feedback with the individualized anatomic information to the surgeons during ACL reconstruction.In the early 1980s, computer-assisted ACL reconstruction was first attempted by the technique using stereotaxic frame of CT scan for brain surgery . HoweverNavigation systems can be divided into image-guided and imagNavigation systems can provide real-time quantitative feedback during arthroscopic procedure and minimize technical error with enhanced reproducibility and reliability , 66. HowResearch on the anatomy of to the ACL has progressed along with the advancement of imaging and navigation technology. Useful bony landmarks for placing the ACL graft at the ideal position can be identified by 3D imaging technique. Also, 3D-CT analysis for the location of the native and reconstructed ACL provides better and more consistent evaluation than conventional \u201cclock-face\u201d reference and roentgenologic quadrant method. Three-dimensional image analysis of the ACL anatomy and its application to the navigation system is becoming more prevalent and reliable for advancing the anatomic studies related to the native ACL and the ACL reconstruction procedure."}
+{"text": "Functional connectivity between brain regions during swallowing tasks is still not well understood. Understanding these complex interactions is of great interest from both a scientific and a clinical perspective. In this study, functional magnetic resonance imaging (fMRI) was utilized to study brain functional networks during voluntary saliva swallowing in twenty-two adult healthy subjects (all females, Dysphagia may arise from the entry of foreign matter into respiratory pathways The human brain is considered to be a large-scale robust and interactive biological system with non-trivial topological properties Previous studies on graph theory suggested the possibility of performing network analysis on the human brain Recent neuroimaging studies have consistently demonstrated evidence that swallowing is associated with activation in multiple regions of the human brain The goal of this study is to use graph-theoretic approaches to examine the interaction between brain regions during voluntary saliva swallowing in healthy young adults and compare network properties between and within subjects. To be specific, we aim to determine inter- and intra- hemispherical connections during swallowing tasks. Furthermore, differences between the whole-brain network and various regions of interest (ROIs) on computed network measures will be studied.Twenty-two healthy young-adult subjects, all females images were acquired using an echo planar imaging sequence in 36 axial slices software Specifically, the fMRI scans for each subject were first adjusted for time delay between different scans. Second, for each subject the images were realigned to the first slices among all slices using a least squares fitting algorithm and a 6 parameter rigid body transformation After removing the movement interference in fMRI images, the fMRI images further underwent the coregistration step during which the mean fMRI scans were overlayed on a high resolution anatomical image to maximize the mutual information. Therefore, all other functional images were resliced to align with the reference image.Then, to make inter-individual comparisons, normalization was then performed to warp the images to fit a standard MNI template. Finally, smoothing was applied with Gaussian kernel with a 4-mm full-width at half maximum to suppress noise and effects due to residual differences The choice of nodes and links greatly influences the results of network connectivity analysis Graphs are sets of nodes and links. Nodes are the most basic element in functional network analysis. Links can be used as undirected paths, meaning that it can go both directions. Links can also be directed, meaning a node can traverse the network either forward or backward but never reverse direction Using a graph-theoretical definition, a network is a collection of sets of nodes and links, where a node is considered as the most essential element of the network For binary undirected networks, we use The node degree describes the number of direct connections a node has with the rest of the nodes in the network. The node degree is considered to be the most fundamental network measure. It is also a foundation for most of the network measures in this study. The summation of all the node degrees in a set in the network derives a degree distribution The degree The clustering coefficient The shortest path length The global efficiency of a network, In comparison to the mean path length , the gloFor binary networks, the local efficiency of the Small-world measurements e.g., involve A high clustering coefficient and a short characteristic path length suggests the network is described by optimal small-world attributes In addition to small-world attributes, the hierarchy was used to characterize topological properties of the human brain Functional connectivity networks share various significant common ground with anatomical and structural connectivity networks Partial correlation could measure the inter-regional functional connectivity by attenuating the contribution of other sources of covariance The individual partial correlation matrices were thresholded to ensure that each node in the network is not too densely clustered, nor too sparsely connected. In other words, thresholding was used in the study to eliminate the links that were likely to attenuate the effect of important connections To understand the small-world properties of the obtained networks, the value of In our study, we examined hierarchy values derived from both whole-brain functional networks and also swallowing related regions. These two connectivity matrices were constructed by thresholding the correlation matrix such that each node in the resulting network generally had 48 connections. The threshold values ranged from 0 to 1, with an increment of 0.05. In order to calculate hierarchy, the clustering coefficient In our analysis, we compared the network measures calculated for the whole brain and for the previously identified regions activated during swallowing e.g., , which aIn this study, we used an open source Brain Connectivity Toolbox (BCT) To distinguish the difference between swallowing related regions to whole brain metrics we used the non-parametric Mann-Whitney Wilcoxon rank-sum test Binary and weighted functional networks were created for all subjects using the outlined approach. These functional networks were sensitive to threshold values as shown in Our study demonstrated the brain functional networks are characterized by small-world attributes. First of all, the mean network clustering coefficient As we can see in We believe that our study is the first one to use novel graph theoretical approaches to report brain functional connectivity during voluntary saliva swallowing. By utilizing the graph theoretical approaches, we are able to study the alteration of functional connectivity at both the global scale as well as the divisional scale.Our results highlighted that the spatial topological connectivity in swallowing related regions are significantly distinguished compared to whole-brain properties, as can be reflected on various network measurement parameters. Furthermore, our results reported the advantage of applying functional connectivity analysis rather than anatomical connectivity analysis, which is the importance of bilaterally symmetric inter-hemispheric connections. This finding from functional connectivity during swallowing tasks has not been clearly demonstrated by previous studies using anatomical connectivity approaches.Network measures for weighted networks in this study consisted of characteristic path length Swallowing regions and the whole-brain metrics showed a similar node degree distribution and optimal small-world properties. (2) Swallowing-related areas had distinct inter-regional connectivity patterns. (3) The network properties of large-scale brain connectivity differs significantly between swallowing-related areas and the whole brain. Collectively, these and other findings reported in this study provided new insights into how graph-theoretical approaches can be utilized to describe the brain functional network during swallowing and thus provided new clues for understanding the mechanism of swallowing."}
+{"text": "Drosophila genomes. We illustrate the use of these resources to address three types of evolutionary genomics questions: about fluxes in amino acid composition in proteins, about asymmetries in amino acid substitutions and about patterns of molecular evolution in duplicated genes.Harnessing vast amounts of genomic data in phylogenetic context stemming from massive sequencing of multiple closely related genomes requires new tools and approaches. We present a tool for the genome-wide analysis of frequencies and patterns of amino acid substitutions in multiple alignments of genes\u2019 coding regions, and a database of amino acid substitutions in the phylogeny of 12 Drosophila proteins underwent a significant shift over the last 70 million years encompassed by the studied phylogeny, with less common amino acids increasing in frequency and more common ones becoming less frequent. These fluxes are strongly correlated with polarity of source and destination amino acids, resulting in overall systematic decrease of mean polarity of amino acids found in Drosophila proteins. Frequency and radicality of amino acid substitutions are higher in paralogs than in orthologous single-copy genes and are higher in gene families with paralogs than in gene families without surviving duplications. Rate and radicality of substitutions, as expected, are negatively correlated with overall level and uniformity of gene expression. However, these correlations are not observed for substitutions occurring in duplicated genes, indicating a different selective constraint on the evolution of paralogous sequences. Clades resulting from duplications show a marked asymmetry in rate and radicality of amino acid substitutions, possibly a signal of widespread neofunctionalization. These patterns differ among protein families of different functionality, with genes coding for RNA-binding proteins differing from most other functional groups in terms of amino acid substitution patterns in duplicated and single-copy genes.We demonstrate that amino acid composition of We demonstrate that deep phylogenetic analysis of amino acid substitutions can reveal interesting genome-wide patterns. Amino acid composition of drosophilid proteins is shaped by fluxes similar to those previously observed in prokaryotic, yeast and mammalian genomes, indicating globally present patterns. Increased frequency and radicality of amino acid substitutions in duplicated genes and the presence of asymmetry of these parameters between paralogous clades indicate widespread neofunctionalization among paralogs as the mechanism of duplication retention. Drosophila genomes and illustrate its utility by the analysis of the resulting database of amino acid substitutions spanning 70 million years of drosophilid proteins evolution.Until recently, evolutionary genomics questions, including questions about amino acid composition of proteins, patterns of stabilising and positive selection and mechanisms of retention of duplicated genes and new function evolution, were typically answered either by analyzing phylogenies of select gene families ,2 or by Global patterns of amino acid compositions of proteins is thought to not be at a detailed balance, but rather appears to be gradually evolving by consistently adding rare to and removing common amino acids from the amino acid repertoire of protein sequences ,5. ThereDrosophila genomes detecteThe main purpose of AcidMiner is to extract amino acid substitutions data from multiple alignments and to expand them in the form of relational tables so then standard SQL can be used to perform queries by any combination of criteria and to calculate aggregates. AcidMiner takes raw data in the form of multiple alignments and Newick protein and species trees, processes it to produce derivative data such as parsimony-based polarization of substitutions and stores the result in a relational database structure. The raw data for the analysis reported here was a set of multiple amino acids alignments from 12 completely sequenced Drosophila genomes and a Duplications table, which includes phylogenetic information about each duplication and the two clades generated it. The database is available for download from AcidMiner website in the fD. persimulans/D. pseudoobscura), while arginine, a weak loser in the whole phylogeny shows a strong net gain in the shallow branches.Figure Contrary to the prediction based on the effect of intraspecific polymorphism ,9, the oPair-wise asymmetry of amino acid gains and losses had a clear manifestation in terms of average change in amino acid polarity. Amino acid pairs with the largest polarity gain had the highest asymmetry towards net gain of the less polar amino acid Fig. . The degDuplicated genes appeared to accumulate more amino acid changes since duplication (per unit of time measured in units of synonymous substitutions per 4-fold degenerative site) than single copy genes Fig. . AlthougParalogs also evolved by more radical substitutions. Across functional groups of proteins (with the exception of transporter proteins) duplicated portions of phylogenies accumulated amino acid substitutions with greater average absolute change in polarity Fig. , while sAs expected, substitution rates and radicalilty decreased with mean expression rate in the whole fly and increased with the coefficient of variance of expression rate across larval and adult tissues Fig. 5)5), corroTable Clade asymmetries by molecular function categories are presented on Fig. Several caveats in the data and analysis require attention. Firstly, alignments we used may contain pairs of paralogs, in which one of the copies is undergoing pseudogenization and is nor longer expressed, but has not yet acquired a frameshift, which would allow it to be recognized as a pseudogene. Indeed, there is a significant excess of nonsense mutations (per missense) present in the terminal branches of phylogeny (data not presented), indicating presence of pseudogenes in the alignments. Pairs of paralogs, in which one gene copy is undergoing pseudogenization, will demonstrate clade asymmetry, mimicking the signature of neofunctionalization. However, such paralogs are almost certainly present only in the most terminal branches of Drosophila phylogeny spanning over 70 mln years, because the half-life of duplications, in which one of the copies undergoes pseudogenization, is 2-4 mln years 12; 26). Terminal branches include a minority of duplications in our database and excluding such branches from the analysis does not alter the results . This creates a bias towards less divergent paralogs, reducing our ability to detect elevated rates of evolution in duplicated genes. Relative magnitude of these opposing biases remains unknown.Further, results presented in Table Drosophila genomes corroborates patterns previously observed in a variety of taxonomically diverse triplets of genomes [Systematic loss/gain asymmetry in amino acid composition in 12 genomes . This pa genomes ,9.We also demonstrate that this net loss/gain asymmetry is strongly correlated with source and destination amino acid polarities: substitutions of polar amino acids by non-polar ones have a higher net rate than the reciprocal substitutions. In the past we have demonstrated a similar polarity-related asymmetry in selection coefficients against amino acid substitutions in human proteins ; howeverOne may hypothesise that replacing polar amino acids by any is less disruptive for the protein function because polar amino acids have a lower tendency to be located internally in the tertiary protein structure . If so, A question remains how is it possible that asymmetry in amino acid gains and losses systematically removed polar amino acids more often than non-polar ones Fig. over 70 a/Ks) and through more radical amino acid substitutions than single copy genes and to list all possible alternatives for other, ambiguous substitutions. It results in a database, which can be used to answer questions about patterns of amino acids substitutions genome-wide or in particular categories of genes such as molecular functions or duplication status.The analysis of such database of substitutions in 12 Drosophila genomes confirmed previously observed non-equilibrium patterns of net losses and gains of individual amino acids, demonstrated that these patterns do not weaken with the depth of phylogeny and revealed a strong correlation between polarity of amino acid and propensity to display a net loss. We hypothesize that this effect can be explained by relaxed selective constraints on externally located amino acid sites occupied by polar residuals. Evolution of duplicated genes is characterized by both higher relative rate of substitution and more radical nature of these substitutions, as compared to single copy genes. The rate and radicality in paralogs displays a weaker relation with mean expression rate and variance of expression rates across tissues than in single copy genes. This pattern, along with the strong asymmetry between clades resulting from duplication events, indicates widespread neofunctionalization of retained duplications.A new a phylogenetic analysis tool AcidMiner is used Protein alignments and corresponding phylogenies were acquired from Dfam database at Indiana University ,27. ThesNOTUNG phylogenies reconciling topological incongruence between species trees and proteins trees were useParalogs were identified as homologs present in the same genome and substitutions were considered to have been acquired by duplicated genes if their most parsimonious placement on the phylogeny is more terminal than the placement of the duplication event. Conversely, substitutions occurring in branches basal to the most ancient surviving duplication in a clade were considered to have occurred in a single-copy gene.Net relative gain (or loss) of amino acids through substitutions (flux) was characterized by the parameter D = (C-R)/(C+R), where C is the number of times each amino acids was created and R \u2013 the number of times the same amino acid has been removed by substitutions . The para/Ks value, obtained in the following manner. Ka was estimated as the ratio of the number of substitutions to the number of amino acid sites in the alignment. Ks was calculated as the sum of branch lengths of the corresponding section of the tree expressed as the frequency of synonymous substitutions per 4-fold degenerative site [Each gene family was characterized by a KD. melanogaster genes FlyBase IDs [D. melanogaster gene were excluded. Conversely, families with duplicated D. melanogaster genes appeared in these types of analysis with the number of times equal to the number of D. melanogaster paralogs they contained. Gene families were subdivided into the following molecular function categories using FlyBase ontology data [Gene ontology and gene expression data were merged with amino acid substitution data by Base IDs . Therefoogy data : structuogy data .LYY proposed the study methodology, accomplished data analysis and prepared the manuscript. MAB wrote software, generated the dataset and contributed to the manuscript preparation.The authors declare that they have no competing interests.Excel spreadsheet with pair-wise amino acid substitution frequencies mapped to terminal branches of the phylogeny, by species.Click here for fileExcel spreadsheet with pair-wise amino acid substitution frequencies, separately for terminal and non-terminal branches.Click here for fileExcel spreadsheet with data on rates and radicalities of substitutions by gene family.Click here for fileExcel spreadsheet with data on rates and radicalities of substitutions by duplication with separate columns for each of the two clades resulting from each duplication events.Click here for file"}
+{"text": "Micro RNAs (MiRNAs) are small endogenous, regulatory RNAs comprising of about 19\u201325 noncoding nucleotides . PrimaryAcute rejection is the result of an alloimmune response against the allograft and can be caused by either a cellular or humoral response. An acute cellular rejection normally occurs 5 to 7 days after transplant but can occur in an accelerated fashion or any time after transplantation. Chronic rejection is a progressive deterioration in renal dysfunction characterized clinically by a progressive increase in serum creatinine level, and histologically by tubular atrophy, and interstitial fibrosis. It is an almost universal finding that finally happens in all renal transplant recipients and most commonly have an immunological reason. Previously the terminology of chronic allograft nephropathy (CAN) was used to describe these changes The Banff classification system for renal allograft injury has recently adopted the term interstitial fibrosis and tubular atrophy (IFTA) to describe these changes . It usually starts after the first transplantation year and results in a continuous decrease in renal allograft function. In the preliminary publication of miRNA profiling in CAD with IF/TA, 56 differential regulation of miRNAs were studied in tissue samples and urinary cell pellets. Up regulation of: miR-142-3p, miR-32 and down regulation of: miR-204, miR-107, miR-211 were observed in their studied population with IF/TA . All thoIn the context of kidney disease and early noninvasive diagnosis, urine is a specimen of choice. It provides a representative sampling of the entire kidney and an indirect way to visualize intragraft compartment; therefore, it is naturally appealing to nephrologists . The rolThe recent discovery of human microRNAs (miRNA) opens a new horizon to biomedical research Several publications have supported the value of urinary miRNAs for diagnosis renal allograft dysfunction so it could be a useful tool to monitor the status of the kidney allograft function and a feasible biomarker of IF/TA ."}
+{"text": "A new transgenic mouse that enables tissue-specific GFP labeling of cilia creates new opportunities for using live imaging to understand cilium function and to better characterize the many genetic models of ciliopathies.Nearly all cells have cilia, microtubule based projections from the apical cell surface, and nearly all cells use them in essential and unique ways. How mammalian cilia function http://www.ciliajournal.com/content/2/1/8See research article: For instance, in the kidney, conditional knockout of genes essential for ciliogenesis in adult animals does not result in immediate or uniform kidney cyst formation, raising questions of how cilia detect fluid movement in vivo and how they function in normal epithelial homeostasis [in vivo has largely relied on DIC optics to detect motile cilia in a limited number of organ contexts where cilia can be made accessible, for instance in the isolated embryonic node [in vivo with green fluorescent protein (GFP) promises to open up new opportunities to understand the function of cilia in their normal organ context.The cilium is a multifunctional organelle now known to be a focal point of cell signaling as well as an essential mechanical device that cells use to propel themselves or surrounding fluid. Ciliary dysfunction in \u2018ciliopathies\u2019 leads to a wide range of human disease pathologies . The coneostasis . Much haeostasis . Imagingnic node or the tnic node . The recin vivo imaging of cilia using fluorescent protein reporter transgenes has been a mainstay of studies using Caenorhabditis elegans for examination of ciliogenesis and ciliary sensory functions. Transgenic GFP fusion proteins have been used to report in vivo rates of ciliary transport [in vivo ciliary motility [in vivo. For instance, in the embryonic mouse node, two populations of cilia are proposed to co-exist and be essential for the determination of embryonic left-right asymmetry. Motile cilia drive fluid in a leftward direction while non-motile, mechanosensory cilia are proposed to detect this fluid flow and initiate asymmetric signaling on the left side of the embryo [ex vivo lentiviral infection of mouse embryos with GFP targeted to cilia have been reported [GFP mouse harboring a floxed, cilia-targeted GFP transgene integrated in the ROSA locus promises to become the new standard for in vivo visualization of cilia. In their recent report, O\u2019Connor et al. [GFP mouse and show that cilia can be labeled in vivo with a transgene-encoded somatostatin receptor 3-GFP fusion protein (Sstr3::GFP) using ubiquitous and cell-type-specific Cre lines. Live imaging of kidney tubules reveals that fluid flow in the mouse nephron is sufficient to force the cilia to lie flat against the cell surface in the direction of flow, while at reduced heart rate cilia show a pulsatile and coordinated back and forth motion. After years of debate and supposition about how sensory cilia behave in vivo and how they may be linked to disease, the work from O'Connor et al. finally provides empirical measurements of ciliary deflection and movement that will be essential for deducing their in vivo function. How is ciliary deflection transduced as a cellular signal in vivo? Do cilia have a characteristic bending pattern and is this important in mechanotransduction? Or do some kidney cilia move on their own using internal motors (dyneins)? These questions and many others are now within the grasp of researchers. The CiliaGFP mouse will also be useful for studies of the brain where primary cilia in the hippocampus as well as motile cilia on ependymal cells of the ventricles have been shown to be well labeled. The CiliaGFP mouse approach will impact studies of how cerebrospinal fluid movements may affect brain development [Live, rt; IFT) , the delrt; IFT) . More rert; IFT) and permmotility . A key ae embryo . While ireported , but thir et al. describeelopment .GFP mouse suggests new approaches, integrating observations on the behavior of cilia with in vivo measurements of cell signaling. Imaging cilia in the CiliaGFP mouse coupled with genetically encoded biosensor transgenics promise"}
+{"text": "Glucose control in critical care has been shown to improve patient outcome, yet tight glucose control has led to increased hypoglycemia in the clinic. We employed a systems engineering approach to assist clinicians in maintaining blood glucose within a desired target range while avoiding hypoglycemia in the critically ill. The long-term vision is a decision support system that provides recommended insulin and glucose administrations leading to patient-specific achievement of tight glucose control without hypoglycemia.To achieve these goals, we employ a model predictive control (MPC) algorithmic platform using two control inputs: insulin for glucose control and glucose for hypoglycemia. The MPC controller is designed based on a nonlinear dynamic model of glucose-insulin-fatty acid interactions . A movinThe response of the MPC controller to measured deviations in glucose is shown in Figure The algorithm achieves tight glucose control in response to multiple measured and unmeasured disturbances. Furthermore, the MHE scheme updates patient parameters in real time in response to changing patient dynamics. The adaptive MPC algorithm is currently being validated using a retrospective cohort of critically ill patients at the University of Pittsburgh Medical Center."}
+{"text": "Liming has been used extensively in Scandinavia and elsewhere since the 1970s to counteract the negative effects of acidification. Communities in limed lakes usually return to acidified conditions once liming is discontinued, suggesting that liming is unlikely to shift acidified lakes to a state equivalent to pre-acidification conditions that requires no further management intervention. While this suggests a low resilience of limed lakes, attributes that confer resilience have not been assessed, limiting our understanding of the efficiency of costly management programs. In this study, we assessed community metrics , multivariate community structure and the relative resilience of phytoplankton in limed, acidified and circum-neutral lakes from 1997 to 2009, using multivariate time series modeling. We identified dominant temporal frequencies in the data, allowing us to track community change at distinct temporal scales. We assessed two attributes of relative resilience of the phytoplankton communities, based on the fluctuation frequency patterns identified. We also assessed species with stochastic temporal dynamics. Liming increased phytoplankton diversity and richness; however, multivariate community structure differed in limed relative to acidified and circum-neutral lakes. Cross-scale and within-scale attributes of resilience were similar across all lakes studied but the contribution of those species exhibiting stochastic dynamics was higher in the acidified and limed compared to circum-neutral lakes. From a resilience perspective, our results suggest that limed lakes comprise a particular condition of an acidified lake state. This explains why liming does not move acidified lakes out of a \u201cdegraded\u201d basin of attraction. In addition, our study demonstrates the potential of time series modeling to assess the efficiency of restoration and management outcomes through quantification of the attributes contributing to resilience in ecosystems. The capacity of an ecosystem to tolerate disturbances without changing its original structure, functions and processes has been defined as ecological resilience Clear examples of ecosystems that are trapped in a degraded state are acidified lakes Here, we describe an analysis of the resilience of phytoplankton community structure and no permission for use of the data is therefore required. It is also confirmed that the field studies did not involve endangered or protected species.All field sampling and laboratory analyses reported in this study are part of either the Swedish National Lake Monitoring Program or the national monitoring program for Integrated Studies of the Effects of Liming of Acidified Waters, both regulated by the Swedish Agency for Marine and Water Management. All data are made freely available to the public via the web by the data host : 1) managed lakes that were limed to mitigate the effects of anthropogenic acidification; 2) acidified lakes that were unmanaged; 3) circum-neutral lakes , used as reference lakes with \u201cdesired\u201d ecosystem properties. The study lakes are situated in the same ecoregion , are of similar size and have been monitored regularly for surface water chemistry and phytoplankton for 13 years (1997\u20132009).For this study, nine lakes representing three different management types were selected from the webpage hosting data from monitoring programs of Swedish inland waters (http://www.swedac.se/en/) at the Department of Aquatic Sciences and Assessment, Swedish University of Agricultural Sciences, following International (ISO) or European (EU) standards when available Phytoplankton and two water chemistry variables that are directly related to liming were sampled monthly during the ice-free period at a mid-lake station in each lake. Water was collected at 0.5 m depth with a Plexiglas\u00ae sampler and kept cool during transport to the laboratory for further analysis. All physicochemical analyses were done by SWEDAC certified laboratories were calculated from geometric shapes following protocols developed by Blomqvist and Herlitz Phytoplankton was sampled by taking a water sample from the epilimnion using a 2-m long Plexiglas tube sampler (diameter\u200a=\u200a3 cm). In lakes with a surface area >1 kmPrior to analyses, phytoplankton data were averaged to obtain three values that were spaced nearly equidistantly in time, covering early spring, summer and late autumn each year. We characterized phytoplankton community structure across lakes using common metrics following recent recommendations by Jost Repeated measures analysis of variance (rm-ANOVA) was carried out in Statistica v.5 to test for significant differences in phytoplankton community metrics between the three categories of lakes. Similar rm-ANOVAs were conducted for pH and calcium concentration, to associate phytoplankton community dynamics with abiotic effects of liming. We tested for the effects of \u201cmanagement type\u201d (fixed factor), \u201ctime\u201d (random factor) and their interactions. These factors comprised the independent variables while the community metrics comprised the dependent variables in the analysis. All data were log-transformed when necessary prior to analyses to fulfill the requirements of parametric tests. Because assumptions of sphericity were violated, degrees of freedom were corrected following the procedure by Huynh and Feldt These univariate comparisons were complemented with multivariate analyses on phytoplankton communities using permutational multivariate analysis of variance in PERMANOVA version 1.6 et alWe assessed two attributes of relative resilience of the phytoplankton communities with a time series modeling approach based on redundancy analysis (RDA) R2 values of the canonical axes. The overall temporal structure of the whole community can then be deduced from the number of significant canonical axes in the RDA models. The number of canonical (RDA) axes identified gives insight about the number of temporal scales at which phytoplankton community fluctuations take place and can therefore be used to assess the cross-scale structure attribute of resilience Redundancy analysis (RDA) retains significant AEM variables and these are linearly combined in ways to extract temporal patterns from the Hellinger-transformed species matrices . The RDA identifies species with similar temporal patterns in the species \u00d7 time matrix and uses their temporal pattern to calculate a modeled species group trend for these species based on linearly combined AEMs. The significance of the temporal patterns of all modeled fluctuation patterns of species groups revealed by the RDA is tested by means of permutation tests. The RDA relates each modeled temporal fluctuation pattern with a significant canonical axis. The R software generates linear combination (lc) score plots, which visually present the modeled temporal patterns of species groups that are associated with each canonical axis. Based on the number of significant canonical axes, the number of modeled fluctuation patterns of species groups with independent temporal patterns can be deduced. The ecological relevance of each temporal pattern identified can be quantified, using adjusted All relevant steps in the analyses were carried out with two functions implemented in the R 2.15.2 statistical software package After identifying the cross-scale structure in phytoplankton community dynamics, we evaluated the within-scale attribute of resilience using correlation analysis. Spearman\u2019s rank correlation analysis was used to investigate the relationship between individual phytoplankton species with the linear combination (lc) scores extracted from significant canonical axes of the time series models for each lake type. With this approach we were able to calculate scale-specific taxon richness. Species that did not correlate with any canonical axes were considered to reflect stochastic dynamics. The number of these stochastic species was evaluated by subtracting the total number of species that correlated with canonical axes from the total number of species used for the time series modeling across lakes P<0.001).Univariate analyses of community metrics revealedThe results of the repeated measures analysis of variance revealed that management type has an effect on both the pH and the calcium concentration, while the effect of time and the interaction term were not significant . MoreoveTime series modeling revealed significant temporal structure in all lakes studied . The RDAThe relative resilience of limed lakes in terms of the dynamic within- and cross-scale structure of phytoplankton communities was predicted to be lower relative to acidified and circum-neutral lakes. The within-scale component of resilience, expressed as the percentage of species that explained each temporal pattern, was similar across lake types. Also the cross-scale structure differed marginally between managed and unmanaged lakes, although water chemistry accounted for subtle differences in cross-scale structure. All circum-neutral lakes and the least acidified Brunnsj\u00f6n showed six distinct temporal frequency fluctuations, while the most acidified lake H\u00e4rsvatten, that clearly comprises an undesired but stable state, had only four patterns. This pattern is counterintuitive because it suggests a lower resilience of this lake. This highlights that the cross-scale structure analysis, despite characterizing important features of complexity, may not capture the full spectrum of resilience. Our study shows how considering the dynamics of stochastic species can provide a broader picture of resilience. Similarly, despite liming substantially increasing pH and calcium concentration, no significant increase in cross-scale structure was observed, highlighting no pronounced effect of management action on phytoplankton cross-scale attributes of resilience. Although our study hypothesis was rejected, our results provided us with a better understanding how management action, specifically liming, influences resilience.Management and restoration efforts are often directed towards breaking equilibrium conditions of undesired system states, returning them to more desired states and increasing the resilience of these restored or managed states (2) The resilience characteristics observed in acidified lakes characterizes their basin of attraction and thus their resistance to return to desired target conditions The similar within- and cross-scale attributes of resilience in limed and acidified lakes, suggest that liming produces at least a partial management success in terms of increasing species richness and diversity, which has also been observed in other studies In addition to assessing patterns of resilience across managed and unmanaged boreal lakes, our study provides new insight into the consequences of liming for biodiversity and its effects on resilience. Increased resilience has been associated with a higher species richness and diversity in communities We conclude by highlighting that, given the similar within- and cross-scale attributes observed across lakes, an assessment of resilience characteristic of limed lakes would have been inconclusive. Without information of the broader ecological impacts of liming on communities and other ecosystem characteristics that has accumulated in the literature Table S1Summary of geographical positions, morphological characteristics and water chemistry of study lakes. Values represent the inter-annual mean value and standard deviation for the study period 1997\u20132009.(DOCX)Click here for additional data file.Appendix S1Flow chart outlining the steps involved in time series modeling.(DOCX)Click here for additional data file.Appendix S2Non-metric multidimensional scaling (NMDS) ordination showing phytoplankton communities across the different lake types over the study period (1997\u20132009).(DOCX)Click here for additional data file."}
+{"text": "Simulating electronic devices built from flexible organic molecules requires both adequate conformational sampling and a reliable quantum mechanical description of the electronics of the system.The former is best achieved using classical (force field) molecular-dynamics simulations, from which individual geometries (\u201csnapshots\u201d) can be used for subsequent quantum mechanical calculations.As the repeating unit in the classical simulations typically involves thousands of atoms, the quantum mechanical techniques must also be able to handle many thousands of atoms quickly and effectively on modern parallel hardware.The newly developed EMPIRE program has been used in such a scheme to perform simulations on self-assembled-monolayer field-effect transistors (SAMFETs). Calculations of the size needed require novel interpretation and post-processing techniques based on local properties calculated on grids, rather than the more traditional population analyses.The results of simulations using the techniques described above will be presented and the algorithms and parallelization strategies implemented to be able to calculate as many as 100,000 atoms on 1,024 cores."}
+{"text": "The 2012 International Conference on Computational Intelligence and Security (CIS) is the ninth one focusing on all areas of two crucial fields in information processing: computational intelligence (CI) and information security (IS). In particular, the CIS Conference provides a platform to explore the potential applications of CI models, algorithms, and technologies to IS. (i)\u201cAttribute index and uniform design based multiobjective association rule mining with evolutionary algorithm,\u201d (ii)\u201cReliable execution based on CPN and skyline pptimization for web service composition,\u201d (iii)\u201cRobust adaptive control for a class of uncertain nonlinear systems with time-varying delay,\u201d (iv)\u201cBounds of the spectral radius and the Nordhaus-Gaddum type of the graphs,\u201d (v)\u201cThe effects of different representations on static structure analysis of computer malware signatures.\u201dAmong all accepted papers in CIS Conference 2012, five papers were further screened and extended to be included in this special issue. They are the following:The first paper formulates the association rule mining as a multiobjective problem, through which the algorithm of attribute index and uniform design-based multiobjective association rule mining with evolutionary algorithm is presented without the user-specified minimum support and minimum confidence anymore. Experiments on several databases have demonstrated that the proposed algorithm has excellent performance and that it can significantly reduce the number of comparisons and time consumption. The second paper is to employ the transactional properties and nonfunctional quality-of-service (QoS) properties for selecting the web services. Furthermore, the third paper presents an adaptive neural control design for a class of perturbed nonlinear MIMO time-varying delay systems in a block-triangular form. The proposed control guarantees that all closed-loop signals remain bounded, while the output tracking error dynamics converge to a neighborhood of the desired trajectories. The simulation results have demonstrated the effectiveness of the proposed control scheme. The fourth paper is to study the upper bounds for the spectral radius in quantum chemistry. As a result, an upper bound of the Nordhaus-Gaddum type is obtained for the sum of Laplacian spectral radius of a connected graph and its complement. Lastly, the fifth paper is to evaluate a static structure approach to malware modeling using the growing malware signature databases. It has been shown that it is possible to apply standard sequence alignment techniques in bioinformatics to improve accuracy of distinguishing between worm and virus signatures if malware signatures are represented as artificial protein sequences. Moreover, aligned signature sequences can be mined through traditional data mining techniques to extract metasignatures that help distinguish between viral and worm signatures.To sum up, the previously mentioned papers will provide readers and researchers with some useful ideas in the fields of computational intelligence and security.Yiu-ming CheungYiu-ming CheungYuping WangYuping WangHailin LiuHailin LiuXiaodong LiXiaodong Li"}
+{"text": "Cell-based therapies for degenerative diseases of the musculature remain on the verge of feasibility. Myogenic cells are relatively abundant, accessible, and typically harbor significant proliferative potential ex vivo. However, their use for therapeutic intervention is limited due to several critical aspects of their complex biology. Recent insights based on mouse models have advanced our understanding of the molecular mechanisms controlling the function of myogenic progenitors significantly. Moreover, the discovery of atypical myogenic cell types with the ability to cross the blood-muscle barrier has opened exciting new therapeutic avenues. In this paper, we outline the major problems that are currently associated with the manipulation of myogenic cells and discuss promising strategies to overcome these obstacles. Muscles all over the body are heterogeneous, differing in function, cellular composition and biochemical properties Unfortunately, a number of problems are associated with the sole genetic correction of muscle fibers. In healthy young muscle, the turnover of postmitotic muscle fibers is barely detectable Satellite cells, the predominant myogenic cells in skeletal muscle, have a strong dependence on their niche consisting of specialized heparan sulfate rich microenvironment and adhesion molecules on the myofiber plasma membrane The majority of muscle satellite cells spend the most of their lifetime quiescent in their niche 27, 28. It appears that satellite cells also remodel their ECM microenvironment upon activation. While quiescent satellite cells express specific protease inhibitors, proliferating cells express high levels of matrix metalloproteinases (MMP) The importance of the muscle fiber basal-lamina is illustrated by the severe phenotype of mice with mutations in the laminin alpha 2 chain An interesting scenario with respect to the satellite cell niche concept is that non-myogenic cell types could accompany activated satellite cells and contribute to the maintenance of their microenvironment. Fibroblasts which are well known to express high levels of ECM molecules and have no direct myogenic potential, are required for efficient muscle regeneration In 2005, Collins et al. demonstrated that transplantation of single fibers with their niche associated satellite cells leads to an outstandingly efficient engraftment into immunocompromised mdx recipient mice Next to fibroblasts, other non-myogenic cells, including endothelial cells and FAPs, have been implicated in the regulation of myogenesis Taken together, a variety of non-myogenic cell types contribute to the microenvironment of satellite cells and are likely to play a role in the preservation of their stem cell properties. This knowledge has important implications for future cell therapy. The concept of supportive cell types for the maintenance of stemness has long been applied in case of embryonic stem (ES) cells which are routinely cultured on a supportive layer of feeder fibroblasts Apart from the ECM and localized paracrine signals, cell-cell interactions are an important regulatory mechanism in the satellite cell niche. Satellite cells express several genes involved in cell-cell signaling at high levels. Amongst these are cadherins, neural cell adhesion molecule 1 (NCAM-1), vascular cell adhesion protein 1 (Vcam-1), intercellular adhesion molecule 1 (Icam1), claudin 5 (Cldn5), endothelial cell-specific adhesion molecule (Esam) Recent evidence suggests that the elasticity of the niche is crucial for the function of satellite cells Under homeostatic conditions, satellite cells are mostly quiescent remaining in a non-dividing G0 state Taken together, the muscle stem cell niche integrates a plethora of molecular signals that control the maintenance of satellite cells in quiescence and their function upon activation All quiescent satellite cells express the transcription factor paired-box 7 (Pax7) and some myogenic factor 5 (Myf5) The satellite cell pool remains constant over multiple rounds of injury. Consequently, a self-renewing population of stem cells must exist within the myogenic progenitor pool. Early studies revealed that upon injury a subset of myogenic cells undergo immediate fusion into myofibers without preceding cell division while others, with delayed kinetics, enter mitosis A variety of different methodologies has been established to identify satellite cell subpopulations with stem cell character. The gold standard to test the stemness of a given myogenic subpopulation is transplantation into regenerating, eventually irradiated muscle with subsequent analysis of contribution of exogenous cells to the satellite cell compartment. This can be based on quantification of grafted cells in the satellite cell position on muscle sections or by fluorescence-activated cell sorting (FACS). Ideally, in such transplantation experiments, a given subpopulation of satellite cells with superior stemness is compared to the total pool of satellite cells or to the fraction of cells remaining after extraction of the stem population. Despite abundant reports on satellite cell heterogeneity only few studies have compared satellite cell subpopulations in this manner.Based on expression reporter alleles and by immunostaining it has been shown that a fraction of satellite cells in adult muscle do not express Myf5 As described by others In another line of research, Tanaka et al. characterized a subpopulation of satellite cells with characteristics of side population (SP) cells which express Pax7, Sdc3, Sdc4, ATP-binding cassette sub-family G member 2 (ABCG2) and stem cell antigen 1 (Sca1) During regeneration, heterogeneous populations within satellite cells also behave differently in terms of proliferation kinetics. Asymmetric divisions giving rise to more differentiated progeny can be observed at almost every stage; satellite cell lineage progression thus allowing for a small population of satellite cells to retain stem cell characteristics. Based on a GFP live-reporter for Pax7 expression, Rocheteau et al. have shown that undifferentiated satellite cells with high Pax7 expression have the capability to asymmetrically distribute their chromatids when compared to cycling cells which have begun to downregulate Pax7 It remains to be determined to which extent each of the above mentioned label and sorting approaches enrich for the same primitive \u201cstem-like\u201d population present in skeletal muscle and it is hoped that future studies will be able to unequivocally unravel the identity and biology of these satellite stem cells. Unfortunately, up to date no definitive stem cell marker has been established to isolate such satellite cells in species other than the mouse. The availability of a satellite stem cell marker that allows for sorting of living cells from human tissue would be of great use from a therapeutic point of view. It would allow for the selective enrichment of these cells from donor tissue, reduce immunogenicity due to the low number of cells required for transplantation, decrease the number of injections required to obtain a therapeutic effect and it would result in a sustained muscle-wide repopulation of the host stem cell niche by donor cells without loss due to excessive differentiation. Another problem associated with the intramuscular delivery of myogenic cells that could be solved by transplantation of few stem cells is the massive cell death that has been described upon grafting of large amounts of myoblasts into muscle A variety of cells different from satellite cells possess myogenic potential . Some ofSeveral other cell types with varying myogenic potential that could be of therapeutic relevance have been described. (i) A rare population of cells expressing CD133 or Prominin-1 that is present in human skeletal muscle and circulating in adult blood has myogenic potential So far, a wide variety of cells with myogenic potential harboring distinct advantages and disadvantages for therapy have been discovered. In the recent years, basic research has begun to define parameters for experimental cell-based treatments that are likely to be translationally relevant. Desirable characteristics of transplanted cells are a high proliferative capacity without tumorigenicity, a minimal immunogenicity, the ability to cross the blood-muscle barrier and/or a robust migratory capacity within muscle tissue, the ability to sustainably repopulate the satellite cell niche, the ability to return to quiescence, and an unimpaired differentiation potential allowing for an extensive transfer of genetic material into muscle fibers. Apart from isolating sufficient cells with these characteristics, some of the main limitations we are facing now are the lack of ex vivo cultivation methods allowing for genetic correction while preserving satellite cell \u201cstemness\u201d, the lack of definite markers for the enrichment of viable satellite stem cell populations, inefficient delivery methods and a lack of strategies to efficiently control fibrosis and inflammation. At present, the ability to cross the blood-muscle barrier after systemic delivery and the capability to populate the satellite cell niche makes mesoangioblast-like cells/pericytes the most promising candidates for cell-based therapy of muscular dystrophy. Future research will have to advance the feasibility of alternative approaches such as the genetic correction and/or grafting of satellite cells so they can be assessed for their efficiency in a clinical setting.It is now more than 50 years since the satellite cell of skeletal muscle has been discovered"}
+{"text": "A 71 years old Italian man had type 3 gastric cancer of the greater curvature. Total gastrectomy with splenectomy and D2 lymph node dissection were performed. After discharge chemotherapy ELF regimen was administred for 6 months. After 16 months from the operation a local recurrence was discovered by CT scan. Surgical en-bloc resection was performed removing pancreatic tail, splenic colic flexure and a portion of left diaphragm. Histological examination confirmed local recurrence of gastric adenocarcinoma infiltrating pancreas, colon and diaphragm with lymph node metastasis. In Western countries gastric cancer still represents a disabling disease: unfortunately late diagnosis is common and loco-regional recurrence rate after surgery alone is high especially in patients with advanced stage disease at the time of diagnosis . Local recurrence may occur also in those patient which had R0 resection: management of these cases is extremely difficult for the involvement of regional structures resulting in poor surgical chances. Therefore multidisciplinary therapeutic approach is necessary to achieve better results. The aim of this report is to refer about an unusual presentation of local relapse in an old patient submitted to a total gastrectomy in which surgical approach permitted a good control of the disease.th post-operative day after X-ray control with hydro-soluble contrast. Hospital stay was prolonged by left basal pneumonia associated to pleural effusion; discharge occurred after one month. Histological examination demonstrated an adenocarcinoma extended to all layers of gastric wall and metastasis to greater curvature lymph-nodes (station 4 of JGCA) [th post-operative day; after resolution of this complication patient was discharged. Histological examination resulted in poor differentiated gastric carcinoma infiltrating colic wall and pancreas with metastasis in one of nine peri-colic lymph-nodes examinated.Male, 71 years old; on July 27, 2004, he was submitted to total gastrectomy with splenectomy and lymph-node dissection (D2) for an ulcerated adenocarcinoma of the greater curvature of the upper third of the stomach. Roux-en-Y stapled esofago-jejunoanastomosis was performed and oral food intake resumed in 7Loco-regional recurrence and distant metastases are common events after surgery for gastric adenocarcinoma. Abdominal extraluminal recurrence of gastric cancer is a disarmimg condition because of poor therapeutic chances. Generally it is a matter of peritoneal carcinosis or multiple liver metastasis; in these cases surgery has little opportunities to be useful. Literature reports rare cases of single localization in abdominal cavity that may be resected. Menzel reportedOur case is unusual in its presentation: an isolated bulk involving neighbouring organs suitable for surgical resection. The result after the en-bloc resection is very amazing. Considering the primary surgical specimen we may suppose the modalities of the local relapse: the spleen and local lymph-nodes were radically removed, but in spite of that, local contamination during the first operation remains the most reasonable interpretation. All risk factors suggested by Yoo and Colleagues were preThe authors declare that they have no competing interests.BM, CM and RL have studied the patient and performed the surgical operation. FC performed the endoscopic preoperative study of the patient and contributed to the literature review. CT contributed to the discussion of medico-legal issues and to the writing of the paper. BA and CM gave their contribution to the analysis of the data and contributed to the writing of the paper. All the authors read and approved the final manuscript."}
+{"text": "Based on the concept that the tumorogenesis in chronic lymphocytic leukaemia comprises both an initial, inherited mutation and subsequent somatic mutations, the pleiotypic diversity of familial chronic lymphocytic leukaemia and related malignant lymphoproliferative disorders is generally explained by a repertoire of monoallelic polygenes in the initial mutation. Epigenetic genomic imprinting is a likely mechanism behind of the asynchroneous replicating monoallelic polygenes which is discussed in the light of pleiotrophy and birth order effect. Furthermore, it is discussed that one possible mechanism available for the epigenetic transfer of these genes could be the physiological pregnancy-related microchimerism between mother and fetus. It is generally accepted that chronic lymphocytic leukemia (CLL) is a monoclonal B-lymphoproliferative disorder caused by a mutation in the differentiation pathway of the B-lymphocyte and that this mutation causes an arrest in the differentiation with accumulation of the leukemic subset of immature monoclonal B-lymphocytes. Since these B-lymphocytes are genuinely circulating in blood and lymph, the leukemic cells are spread to all part of the body with vessels and accumulated especially in bone marrow, lymph nodes and spleen and sometimes even in lamina propria and in other extra-lymphoid tissues \u20135. RelatThe multistep evolution of LD is based on a paradigm and 2 coA hereditary mechanism in CLL and LDs is seen from the marked familial clustering with pleiotrophy, which means familial co-expression of CLL and LDs \u201317. The However, to date the gene or genes involved have not been identified. A considerable number of publications on gene-defects in CLL address the subsequent somatic mutations . There iNeither linking studies \u201327 nor gWhether the somatic mutations in the development of LDs and 2 alOne of the major recent contributions to the discussion on familial CLL is the demonstration of a likely monoallelic polygene model where each monoallelic gene confer a small relative risk which increases when the monoalleleic genes occur in multiplicative and/or additional combinations ,40\u201343.If the interacting monoallelic polygenes arises as a consequence of inherited and initial mutations they mimic an autosomal dominant syndrome in which the individual cells in the mutated clone become homozygous for a recessive neoplasma causing gene \u201343. DuriHowever, in spite of multiple damages some mutated cell lines survive leading to \u201ccancer\u201d. This diversity of surviving, mutated clones caused by multiple monoallelic genes explains most likely the pleiotypic appearance of subsets of diagnoses in families with clustering of CLL and related LDs. Such asynchronous replicating monoallelic genes are often either genomic imprinted genes or genes subjected to X-chromosome inactivation . While aGenomic imprinting is a non-Mendelian gene expression depending upon the parent that transmit it and where the mechanism which silences the maternal or the paternal copy is epigenetic, meaning outside the genes , 46\u201351. The parent\u2019s age and the birth-order effect were originally united parameters in Haldane and Smith\u2019s test from 1947 ,61 basedGenomic imprinting is in favour of adjustment of different maternal resources to her offspring to maximize maternal fitness . Perhaps"}
+{"text": "Transcranial direct current stimulation (tDCS) is a non-invasive technique that is generally assumed to work by increasing the level of brain activity near the anode (positive polarity), while decreasing it near the cathode (negative polarity). However, this is based in part on untested assumptions: the exact (cellular and synaptic) inhibitory or excitatory processes that are targeted preferentially using either polarity is still an open area of research. Furthermore, the relationship between electrode polarity and membrane excitability is highly contingent upon stimulation parameters . Although neuroimaging has been utilized to verify these general effects in the brain, further development is needed to advance our understanding of the mechanisms by which tDCS produces changes across different levels of the nervous system. To date, tDCS has produced reliable changes in neurometabolite concentration using magnetic resonance spectroscopy . We then demonstrate the need for multimodal imaging, with the goal of establishing a more comprehensive examination of both local and global neuroplastic changes due to tDCS. Such a design would enable measurements of brain chemistry and large-scale functional connectivity within the same subject and tDCS session, thus capturing interactions of these measures that may account for significant variability in cognition and behavior.1H-MRS) allows for accurate quantification of certain neurotransmitters within a localized region of the brain. To date, there have been few published MRS-tDCS studies where data were acquired immediately before and after tDCS. For instance, Rango et al. and NAA (N acetyl aspartate) under the anodal electrode (located near P4), compared to the opposite hemisphere fMRI have been interpreted as measures of the Other fMRI studies have investigated network connectivity changes induced by tDCS vary across studies and therefore introduce another layer of complexity when trying to compare and interpret results from multiple studies. These parameters can have complex effects on experimental results\u2014for instance, increasing stimulation intensity can have non-linear effects on motor evoked-potential amplitudes (Batsikadze et al., A recently published study demonstrated the feasibility of combined EEG-fMRI with transcranial magnetic stimulation (Peters et al., In summary, it has been shown that tDCS is well-poised as a novel intervention to alter learning and memory (Clark et al.,"}
+{"text": "The past decade has witnessed dramatic advances in genome sequencing and a substantial shift in the number of genome wide association studies (GWAS). These efforts have expanded considerably our knowledge on the sequential variations in Human DNA and their consequences on the human biology. Nevertheless, complex genetic disorders often involve products of multiple genes acting cooperatively and pinpointing the decisive elements of such disease pathways remains a challenge. Network biology recently proved its use in identifying candidate disease genes based on the simple observation that proteins translated by phenotypically related genes tend to interact, the so called guilt-by-association principle.Here, we present GUILD (Genes Underlying Inheritance Linked Disorders), a network-based candidate disease-gene prioritization framework which reveals the pathways associated with the disorder . We exploit several distinct plausible communication mechanisms of known genes associated with the phenotype emerging from the topology of the interaction network. We used three sources of gene-phenotypic association to specify nodes involved in a disorder (seeds for the methods proposed): Online Mendelian Inheritance in Man (OMIM) database and two Analysis on multiple human disease phenotypes demonstrate that the methods proposed in GUILD surpass state-of-the-art prioritization methods such as PageRank with priors and Func"}
+{"text": "The interactions between the insulin signaling pathway (ISP) and juvenile hormone (JH) controlling reproductive trade-offs are well documented in insects. JH and insulin regulate reproductive output in mosquitoes; both hormones are involved in a complex regulatory network, in which they influence each other and in which the mosquito's nutritional status is a crucial determinant of the network's output. Previous studies reported that the insulin-TOR (target of rapamacyn) signaling pathway is involved in the nutritional regulation of JH synthesis in female mosquitoes. The present studies further investigate the regulatory circuitry that controls both JH synthesis and reproductive output in response to nutrient availability.We used a combination of diet restriction, RNA interference (RNAi) and insulin treatments to modify insulin signaling and study the cross-talk between insulin and JH in response to starvation. JH synthesis was analyzed using a newly developed assay utilizing fluorescent tags.corpora allata (CA). Paradoxically, starvation-induced up regulation of insulin receptor transcripts and therefore \u201cprimed\u201d the gland to respond rapidly to increases in insulin levels. During this response to starvation the synthetic potential of the CA remained unaffected, and the gland rapidly and efficiently responded to insulin stimulation by increasing JH synthesis to rates similar to those of CA from non-starved females.Our results reveal that starvation decreased JH synthesis via a decrease in insulin signaling in the The correct allocation of nutrients between conflicting needs such as reproduction, growth, maturation or flight is a vital component of an insect's life-history strategy Aedes aegypti JH is a key mediator of trade-offs between survival and reproduction during the PVGS and ORS The reproductive cycle of female mosquitoes proceeds through a previtellogenic stage (PVGS), an ovarian resting stage (ORS) and a vitellogenic stage (VGS) corpora allata (CA) synthesize JH A. aegypti mosquito are very dynamic and nutrition-dependent in vitro caused a strong and fast stimulation on JH synthesis; while systemic depletion of TOR by RNAi and rapamycin administration had inhibitory effects on JH synthesis How these two hormonal signaling pathways (ISP and JH) interact to regulate all the physiological functions necessary for egg production is not totally clear. JH titers in female adult mosquitoes are mainly determined by the rate at which the in vivo depletion of INSr and FOXO using RNA interference (RNAi) and insulin treatments were used to modify insulin signaling and study the cross-talk between insulin and JH in response to starvation. Our results reveal that starvation decreased JH synthesis via a decrease in insulin signaling in the CA. Starvation-induced up regulation of the insulin receptor increased CA insulin sensitivity and might \u201cprime\u201d the gland to respond rapidly to increases in insulin levels after feeding resumption. During this response to starvation the synthetic potential of the CA remained unaffected, and the gland rapidly and efficiently responded to insulin stimulation by increasing JH synthesis to rates similar to those of CA from non-starved females.Here diet restriction, Aedes aegypti of the Rockefeller strain were reared at 28\u00b0C and 80% relative humidity under a photoperiod of 16 h light: 8 h dark. Female were offered a cotton pad soaked in 20% sucrose solution for the first 24 h after adult emergence. Afterwards, one day-old females were separated into two experimental groups: starved females were offered water, and sugar-fed females were maintained on a 20% sucrose solution. All experiments were performed with 4-day old virgin females.To test the effect of starvation we used four days old females because our RNAi protocol requires waiting a 4-day period after injection to be effective Lipids were quantified in mosquitoes using a triglyceride quantification kit as previously described Corpora allata-corpora cardiaca complexes (CA-CC) attached to the head capsule were isolated from adult females as previously described in vitro was quantified using high performance liquid chromatography coupled to a fluorescent detector (HPLC-FD) The amount of JH synthesized by CA-CC complexes Total RNA was isolated using RNA-binding glass powder as previously described Synthesis and microinjections of double-stranded RNA (dsRNA) were performed as described by Perez-Hedo et al. Statistical analyses were performed using the GraphPad Prism Software . The results are expressed as means \u00b1 S.E.M. Significant differences (P<0.05) were determined with a one tailed students t-test performed in a pair wise manner or one-way ANOVA followed by a comparison of means (Tukey's test).To determine the effect of starvation on lipid reserves, the total lipid contents of mosquitoes were quantified in either sugar-fed or starved females. Lipids reserves increased more than 2-fold by feeding 20% sugar for the first 24 h. Lipids continued to increase in sugar-fed females, while starved females gradually lost lipids during the starvation period. There was a 10 fold decrease in total lipid contents of 4 day-old starved females when compared with mosquitoes fed 20% sucrose .Starvation resulted in a significant decrease of JH synthesis . The CA To dissect the transcriptional regulatory circuitry of the insulin signaling cascade in the CA in response to starvation, transcript levels for 4 key genes were analyzed in the CA of 4 days old adult females fed sugar or water .Transcriin vivo depletion of INSr and FOXO. Injection of dsINSr resulted in a significant reduction of INSr mRNA when compared with dsYFP treated in both starved (55%) and sugar-fed adult females (58%), without reducing FOXO's transcript levels . JH synthesis was significantly stimulated by insulin in glands dissected from starved females; while CA dissected from sugar-fed females did not respond to insulin stimulation , with three of them specifically expressed in brains of adult females corpora cardiaca (CC) or they are received from the circulating hemolymph. Transcript levels for several A. aegypti ILPs show age dependent and diet dependent changes in female mosquitoes On the other hand, lipids reserves increased more than 2-fold by feeding 20% sugar for the first 24 h after emergence, indicating that a sugar meal could rapidly augment lipid stores. It is important for a female mosquito to rapidly and effectively detect these dynamic changes in nutrient reserves and correct nutrient allocations. The interactions between the ISP and JH controlling reproductive trade-offs are well documented in insects in vitro caused a strong and fast stimulation of JH synthesis The TOR and ILP signaling pathways are considered as nutritional sensors at the cellular and systemic level, respectively. We have previously established that application of bovine insulin on the mosquito CA incubated The insulin receptor itself is a target gene for FOXO regulation in Drosophila and mammals Blatella germanicaThere is evidence that the ISP affects JH levels; in Drosophila, a mutation of the INSr resulted in a significant decrease in JH synthesis, reduced reproductive output and extended life-span In vivo knockdown of the mosquito insulin receptor by RNAi delayed but did not fully inhibit trypsin-like gene expression in the midgut, ecdysteroid production by ovaries and vitellogenin expression by the fat body. In contrast, in vivo treatment with double-stranded INSr RNA and rapamycin completely blocked egg production In female adult mosquito, the interactions between JH, insulin, nutrition and oogenesis are diverse depending on the tissue and physiological stage. After adult emergence, JH connects the nutritional status with insulin signaling by inducing the expression of TOR signaling components in the fat body. Thus, through JH action, the fat body becomes competent to respond to insulin and transduce the nutritional signal from a blood meal to activate vitellogenin transcription Manipulations that decrease systemically the activity of nutrient sensing system are often difficult to interpret. Depletion of INSr or FOXO has profound consequences beyond reducing the activity of any of these particular genes. We observed that silencing of FOXO very efficiently reduced both FOXO and INSr mRNAs in starved and sugar-fed adult females. That explains that although starvation clearly increased FOXO transcript levels in the CA with a concomitant decrease in JH synthesis, systemic silencing of FOXO decreased INSr levels, phenocopied starvation and reduced JH synthesis in both sugar-fed and starved females. Interestingly, systemic silencing of the INSr had opposite effects in JH synthesis by CA dissected from sugar-fed and starved females. Insulin stimulates JH synthesis, so a decrease in the biosynthetic activity by the CA of sugar-fed females deficient in INSr is expected. On the other hand, the significant increase in JH synthesis by the CA of starved females deficient in INSr might be explained by a systemic depletion of INSr in tissues such as brain, fat body or ovaries that might affect organismal nutrient sensing and feed back into CA physiology.JHsynthesis by the CA of female mosquitoes displays remarkable dynamic changes. The CA needs to adjust its synthetic activity to generate these dynamic changes In summary our studies are providing new insights into the regulatory circuitry that controls both JH synthesis and reproductive output in response to nutrient availability. The decrease of JH synthesis in response to starvation is primarily caused by a reduction on insulin signaling and therefore can be completely reversed by stimulation with insulin. JH primarily controls nutrient allocation into the ovaries and starvation reduces JH synthesis and redirects resources away from reproduction. The CA of starved females remains fully competent to synthesize JH; starvation triggers the up regulation of INSr mRNA in CA cells, so they became more sensitive to insulin signaling, providing a mechanism to amplify insulin signals by allowing their detection in lower concentrations once nutrients are acquired and JH synthesis needs to be reactivated.Table S1Primers used for amplification, quantification of the genes studied mRNA and to make dsRNA.(DOCX)Click here for additional data file."}
+{"text": "Functional near-infrared spectroscopy (fNIRS) is an established optical neuroimaging method for measuring functional hemodynamic responses to infer neural activation. However, the impact of individual anatomy on the sensitivity of fNIRS measuring hemodynamics within cortical gray matter is still unknown. By means of Monte Carlo simulations and structural MRI of 23 healthy subjects (mean age: Functional near-infrared spectroscopy (fNIRS) is an optical neuroimaging technique increasingly used to investigate neural processing in healthy subjects and in psychiatric patients NIR-light penetration depth has been shown to depend on the scalp-cortex distance (SCD) using spatial distributions of correlations between hemodynamic responses concurrently measured with fNIRS and functional magnetic resonance imaging (fMRI) The frontal sinus is a fronto-polar air-filled cavity, whose morphology is highly inter-individually variable and may differ among races (mean volume standard deviation (SD): of a large number of photon packages. MCS have repeatedly been used to describe characteristics of photon scattering and migration using head or tissue layer models Radiation Transport Equation the Beer-Lambert law can be used to calculate the attenuation The MCS implemented in our study considered the following basic principles. The light attenuation between an emitter-detector pair is decribed by The total absorbed energy from photon packages reaching the detector was Slices through three individual channel cubes (subject #20) exemplify the spatial distribution of different tissues and NIR-light absorbing voxels in . Slices The mean SCD over all channels and subjects was Based on the assumption of a rotational ellipsoid traverse of NIR-light through the tissue The parameter el-cubes . The cumel-cubes . We usedHowever, since mere distance from scalp to cortex may not fully explain the variance of nd skull . Previou skull While NIR-light traverses biological tissues of the head (and is partly absorbed),the average pathway of the light and the average absorption distribution are best described by an elliptical curve Moreover, this study shows that (3) not only penetration depth, but also the simulated These findings are discussed with regard to previous studies and their implications for fNIRS as a functional neuroimaging technique in human neuroscience and clinical research. MCS have repeatedly been used to provide numerical solutions for the forward problem of photon migration in highly scattering biological tissues By comparing the spatial sensitivity profile of simulated NIR-light between a virtual head phantom and a simplified layered slab model Although biological tissues absorb relatively little of the NIR-light, the exponential attenuation of light intensity along a given pathway explains the differences in tissue-wise absorption with a mean age of We precisely defined optode locations using a typical 0 system . SpecifiThe head circumference of each subject was measured using the individual Fpz marker point and inion head surface position. From these two points the head circumference was assessed by a mearsuring tape.Structural MRI images were acquired using a Automatic anatomical tissue segmentation was performed using the SPM8 tool New Segment, that is an extension of the default unfied segmentation However, the segmentation may have been improved by using multi-spectral data, e.g. additonal The purpose of the Monte Carlo simulation (MCS) implemented in this study is to describe the interaction of light within different tissue types in individually segmented human heads. We thereby characterize the spatial distribution of absorbed energy in voxels along NIR-light pathways from emitter to detector. As a guideline for implementation served the MCS by weightThe MCS consecutively and perpendicularly launches photon packages from the emitter into the individual foreheads. For the packages of photons an energy amount referred to as Henyey-Greenstein phase function Because the absorption and scattering coefficient Snell's law (Depending on the difference in refractive indices (Fresnel equations under the assumption of equally distributed polarization directions:The acute incident angle of a photon hitting a surface was calculated by the dot product between the photon direction The step size We simulated the spatial distribution of voxel-wise absorbed energy of NIR-light photon packages reaching the detector within the channel-cubes. Each weight loss Optical properties of each tissue type were described by four coefficients taken from the literature: Absorption coefficient Depending on For To estimate how many photons are required for the MCS to obtain stable absorption distributions, the MCS was conducted for channel #1 and #9 of two subjects with increasing number of emitted photon packages The SCD was individually assessed for each subject and NIRS channel. We calculated the radial distance between the reference point on the head surface and the closest volume per mille of gray matter within a channel cube. The layer thickness of scalp, skull and CSF layers ("}
+{"text": "Alces alces) contribute to landscape patterns in predation by wolves (Canis lupus) in Isle Royale National Park, Lake Superior, USA. We use pattern analysis and kernel density estimates of moose kill sites to demonstrate that moose in senescent condition and moose in prime condition tend to be wolf-killed in different regions of Isle Royale in winter. Predation on senescent moose was clustered in one kill zone in the northeast portion of the island, whereas predation on prime moose was clustered in 13 separate kill zones distributed throughout the full extent of the island. Moreover, the probability of kill occurrence for senescent moose, in comparison to prime moose, increased in high elevation habitat with patches of dense coniferous trees. These differences can be attributed, at least in part, to senescent moose being more vulnerable to predation and making different risk-sensitive habitat decisions than prime moose. Landscape patterns emerging from prey life history dynamics and habitat heterogeneity have been observed in the predation ecology of fish and insects, but this is the first mammalian system for which such observations have been made.The landscape ecology of predation is well studied and known to be influenced by habitat heterogeneity. Little attention has been given to how the influence of habitat heterogeneity on the landscape ecology of predation might be modulated by life history dynamics of prey in mammalian systems. We demonstrate how life history dynamics of moose ( Spatial variation in predation pressure is a fundamental feature of predation ecology. Such variation has been observed across a variety of spatial scales Canis lupus) predation influences the distribution of moose carcasses where subsequent decomposition increases soil nutrient cycling and corresponding plant growth Recent evidence, derived from examination of predator-killed carcasses in mammalian systems however, suggests otherwise. For instance, wolf (Wolves are highly selective predators that disproportionately kill prey in vulnerable age and condition classes i) Does the pattern of kill sites for moose in senescent condition exhibit greater spatial clustering in specific regions of Isle Royale when compared to the pattern of kill sites for moose in prime condition? ii) Does the predicted probability of kill occurrence for senescent moose increase in inland habitats characterized by patches of conifer tree cover and high elevation when compared to the predicted probability of kill occurrence for prime moose?Variation in habitat features should be an important component of sites where wolves kill moose by life history stage. For instance, ungulates modulate predation risk through fission-fusion herding, long distance migrations, and the selection of habitat features that provide refugia 2) is located in Lake Superior, USA . The island is essentially a single-predator single-prey system Isle Royale National Park designed to monitor wolf movement across the island. Some additional carcasses were also located during summer ground surveys that involved extensive off-trail searching. Because most carcasses in this sample were located from light fixed-wing aircraft in conjunction with estimating wolf kill rate, few moose that died during each field season were missed i) calves are easier to kill than their mothers, ii) a motherless calf is easy for wolves to kill, and iii) it is rare for wolves on Isle Royale to kill a cow and a calf at the same time. We also assessed two senescent-associated pathologies, osteoarthritis Necropsies included inferring the cause of death from field sign . For carcasses discovered during summer ground surveys, season of death was estimated from field observations including degree of decomposition and the presence of adult ticks which exist only in winter or early spring. We recorded age of the moose at time of death by counting annual cementum lines in teeth We classified moose as being in senescent condition if they exhibited signs of senescent-associated pathologies To determine if the kill sites for senescent moose tended to be more clustered when compared to prime moose we evaluated the pattern in the distribution of wolf-killed carcasses for these different kinds of moose using the Ripley's K function www.cran.r-project.org>, accessed 1 Dec 2010) using least-squares cross-validation If significant clustering in kill sites was apparent, our next objective was to evaluate whether the probability of kill occurrence for senescent moose increased in specific areas of the island when compared to prime moose kill occurrence. To facilitate this comparison, we developed kernel density estimates (KDE) of the kill sites for prime and senescent moose. We coded these KDEs in R . We used the National Elevation Dataset to portray elevation (in meters) and calculate slope (in degrees). We also assessed distance to Lake Superior shore and distance to nearest inland lake (in meters). Habitats close to the Isle Royale shore tend to be characterized by a greater distribution of preferred conifer species for moose forage were derived from the U.S. Geologic Survey's National Land Cover Database NLCD; , which iTo evaluate whether the probability of kill occurrence for senescent and prime moose was characterized by different habitat features, we built spatially-explicit multiple linear regression models for each type of moose by quantifying habitat in an area around each carcass location of 0.79 ha . This scale corresponds to the spatial extent of daily moose movements took the form; P<0.01) spatial clustering in prime .Bayesian analysis indicated that the kill zone of the senescent moose KDE corresponded to the top 30% of the distribution . For comg 84 km2 . The prig 84 km2 . Taken tDifferences in the distribution and extent of kill zones for prime and senescent moose were associated with differences in habitat features. As the probability of kill occurrence for prime moose increased, habitat at kill sites was characterized by greater canopy cover (\u03b2\u200a=\u200a2.73) and less conifer cover are one of the basic mechanisms that can result in a ratio-dependent functional response sensur in the Lotka-Volterra formulation of predation; see also Landscape patterns in predation can also have a destabilizing influence on predation dynamics sensu. This isConversely, spatial heterogeneity across a landscape can have a stabilizing influence on predator-prey dynamics through other potentially relevant mechanisms involving, for example, spatial heterogeneity in density and non-linear responses to density-dependent processes Figure S1Standardized regression coefficients with standard error bars from the multiple linear regression model (with insignificant coefficients removed) describing habitat features at prime and senescent moose kill sites in Isle Royale National Park, Lake Superior, USA, 2000\u20132008. The response variable for this model was the percentile of the kernel density estimate see at each (JPG)Click here for additional data file."}
+{"text": "Our studies identified a deficiency in the ability to generate mature dendritic cell using CD14+ cells from cancer patients that corresponded with an increased population of monocytes with altered surface marker expression (CD14+HLA-DRlo/neg). Further studies identified systemic immune suppression and increased concentrations of CD14+HLA-DRlo/neg monocytes capable of inhibiting T-cell proliferation and DC maturation. Together, these findings strongly suggest that protocols aimed at immune stimulation via monocytes/dendritic cells, if optimized on normal monocytes or in systems without these suppressive monocytes, are unlikely to engender effective DC maturation in vitro or efficiently trigger DC maturation in vivo. This highlights the importance of developing optimal protocols for stimulating DCs in the context of significantly altered monocyte phenotypes often seen in cancer patients.Dendritic cells are an important target in cancer immunotherapy based on their critical role in antigen presentation and response to tumor development. The capacity of dendritic cells to stimulate anti-tumor immunity has led investigators to use these cells to mediate anti-tumor responses in a number of clinical trials. However, these trials have had mixed results. The typical method for generation of Increasgnancies .+HLA-DRlo/neg monocytes are detectable systemically in patients with a variety of malignancies and that they are functionally immune suppressive raises important questions regarding their influence in ex vivo DC vaccine preparations. To address this, we have studied the effects of these altered monocytes on mDC generation across several cancer types using an ex vivo culture system. Briefly, CD14+ mononuclear cells were isolated from buffy coats or apheresis leukoreduction system chambers of normal donors using immunomagnetic selection with the cells in excess cytokines. This deficit likely represents a significant block in the differentiation pathway. This strongly suggests that immune stimulation in vivo, even with precise targeting of the pathways known to convert mature DC, is unlikely to efficiently trigger mDC maturation in patients. Further understanding of the biology of these CD14+HLA-DRlo/neg monocytes is needed; strategies to overcome the effects of these cells can lead to better DC generation and immune reconstitution.Cancer patients showed significant deficits in the ability to generate mDCs independent of the underlying tumor. There is also substantially more variability in the efficiency of DC generation using monocytes from cancer patients Figure B. While e Figure C. Howeveex vivo generation of mature DCs from patient myeloid-derived monocyte precursors by co-culturing with GM-CSF and various cocktails of cytokines and TLR agonists to produce mature DCs. Optimizing DC culture conditions using normal healthy donors will likely not directly translate into the protocols needed for cancer patients. It will be important for those protocols that use CD14+ cells to generate their DC product from primary patient samples to confirm and optimize the manufacturing method and assure that potent DCs are being generated. In our hands, a serum-free method that includes IL-4 is a good starting point. Adequate sampling size of the patient population is needed to determine the range of differentiation efficiency in each specific cancer patient population to inform the design of release criteria for vaccine manufacturing. Our data also have clear implications for other approaches attempting to mediate anti-tumor immune stimulation. Adjuvants known to work in healthy people may not work in cancer patients if their approach is to target the DC or DC differentiation pathways.Most currently active DC-based cancer immunotherapy protocols differ in either the cell source or some of the methods associated with the generation of DC. The most common approach has been the +HLA-DRlo/neg monocytes in promoting immunosuppression, it is imperative that we adjust our clinical practices to ensure effective outcomes for patients using DC-based immunotherapy. This will require continued efforts to develop optimal protocols for generating ex vivo DC vaccine preparations and testing these protocols in individual patients. The complexity of the human immune system and individual tumor micro environments will likely require an element of individualized protocol development to achieve optimal clinical benefit.As we improve our understanding of the importance of CD14The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Hepatoblastoma is a rare early malignant liver neoplasm occurring in infants and children. Some cases of hepatoblastoma are associated with genetic conditions such as trisomies of chromosomes 18, Beckwith-Wiedemann syndrome and familial adenomatous polyposis (FAP). The observed increase in the risk of hepatoblastoma in APC (adenomatous polyposis coli) gene mutation carriers is low, not exceeding 1%, which is associated with APC gene mutation located in the region of codons 459-1309, where most mutations identified in families affected by FAP in Poland are found. Tissues obtained from patients with hepatoblastoma but without the diagnosis of FAP show loss of heterozygocity at the locus of APC or MCC genes. Hepatoblastoma growth is the result of the sequence of changes in genetic material. However, a major role can be ascribed to the Wnt pathway where somatic mutations have been observed in the genes of Bcathenin , beta 1.88kD) and AXIN1 (Axis inhibitor 1). We present a case of familial hepatoblastoma in a 3-month-old infant with a constitutional mutation in the APC gene."}
+{"text": "Neuronal networks are able to synchronize in phase-locking regimes. Depending on the structural connectivity it is possible to determine the sign of the phase difference between oscillatory nodes. Specially in unidirectionally coupled motifs the relative phase difference is usually positive. However it has been shown that in the presence of dynamical inhibitory loops, unidirectionally coupled neuron models may present both positive or negative phase difference . The unuThese results are important in light of the growing experimental evidence that the synaptic strength between neurons can undergo spike-timing-dependent plasticity (STDP) . In the Considering that in certain situations the relative potentiation in strong synapses is less intense than in weak synapses, but the depression do not show this dependence , we comp"}
+{"text": "Networks are employed to represent many nonlinear complex systems in the real world. The topological aspects and relationships between the structure and function of biological networks have been widely studied in the past few decades. However dynamic and control features of complex networks have not been widely researched, in comparison to topological network features. In this study, we explore the relationship between network controllability, topological parameters, and network medicine (metabolic drug targets). Considering the assumption that targets of approved anticancer metabolic drugs are driver nodes (which control cancer metabolic networks), we have applied topological analysis to genome-scale metabolic models of 15 normal and corresponding cancer cell types. The results show that besides primary network parameters, more complex network metrics such as motifs and clusters may also be appropriate for controlling the systems providing the controllability relationship between topological parameters and drug targets. Consequently, this study reveals the possibilities of following a set of driver nodes in network clusters instead of considering them individually according to their centralities. This outcome suggests considering distributed control systems instead of nodal control for cancer metabolic networks, leading to a new strategy in the field of network medicine. Ever since Otto Warburg discovered the unique characteristics of tumor cell metabolism over 80 years ago Reconstructed human metabolic networks provide a useful tool for the study of diseases and the development of drugs. Several simulations and modeling methods have been developed to address the issues of drug-target prediction Network medicine is a new subject that tries to link topological network properties to biological function and disease. Network medicine explores the molecular complexity of a special disease and relationships between distinct phenotypes which may lead to the identification of disease modules and pathways k is treated as if it were a set of k nodes There have been reactions to Liu's work. Ferrarini Both nodal and edge dynamics frameworks (the approaches mentioned above) have been implied for covering unipartite graphs. In 2013, Nacher et al. introduced a modified version of MDS in order to study the controllability of bipartite networks. The results demonstrated that MDS tends to select high degree nodes and nodes with a high betweenness centrality in bipartite networks. But the author mentioned that this approach may not be possible in some kinds of biological networks such as Protein-Protein Interaction (PPI) and metabolic networks.In this paper, we have tried to explore possible relation between topological analysis, structural controllability, and metabolic networks. We have applied a comprehensive topological analysis of recently published genome-scale metabolic models of normal and cancer tissue-specific models to assess the controllability relation between topological parameters and drug targets (as driver nodes),with the assumption that the targets of approved anticancer metabolic drugs are driver nodes and therefore control cancer metabolic networks. In addition, the outcomes of metabolic networks controllability could create insights leading to the discovery of novel drug targets. We have shown that besides primary network parameters, more complex network metrics such as motif and clusters may also provide new tools for addressing network controllability in metabolic networks. Characterizing the drug target in enzyme-centric clusters shows that most of the drug targets belong to one specific cluster of an enzyme-centric network. This could provide new insight into considering distributed control systems (DCS) instead of nodal control for cancer metabolic networks Omics data such as transcriptomic data are often noisy. In addition, mRNA expressions are relative to a reference condition and sometimes do not correlate well with enzyme levels http://www.metabolicatlas.com/All original SBML files have been downloaded from The SBML files are bipartite graphs including two types of nodes (metabolites and reactions). Bipartite characteristics of metabolic networks make it difficult to analyse them with structural methods. In addition, metabolite-metabolite (metabolite-centric) and enzyme-enzyme (enzyme-centric) networks can provide extra insights and are therefore relevant for further analysis of the metabolism. It is also necessary to address structural controllability based on nodal dynamics (the approach of this study), and to construct metabolite- and enzyme-centric networks. We have written scripts in MATLAB software (R2012b) in order to construct undirected and directed metabolite-centric, as well as undirected and directed enzyme-centric networks based on SBML files. We have added network construction procedures including the algorithms in the Network Analysis plugin in Cytoscape Primary topological analysis has been carried out on four different networks of normal and cancer cell metabolic networks using the cytoHubba plugin Centrality analysis has been carried out on the directed enzyme-centric networks of cancer and normal cell types using the Motif finding has been carried out on the directed metabolic and enzyme-centric networks of cancer and normal cell types using the Quatexelero algorithm MCODEClustering analysis has been performed on the directed enzyme-centric networks of cancer and normal cell types using the For finding anticancer metabolic drugs and their targets, we have used the drug bank database k connections to other nodes satisfies the following relation Since metabolic networks satisfy power-law degree distribution, scale-free, and small-world properties Centrality parameters are global properties of a network that rank graph nodes according to their importance in the network. The higher the rank, the more important a node is in the network, indicating that it may play key roles in controlling cellular functions. We have carried out centrality analysis for directed enzyme-centric networks. All enzymes in 15 enzyme-centric networks have been sorted according to 12 different centrality parameters in order to check whether drug targets appears as highly connected nodes. As Network motifs have served as the building blocks of biological networks from bacteria to mammals, and their function has been experimentally studied in some species such as the transcription network of E. coli MCODE clustering algorithm through clusters in the enzyme-centric network of cancer cell types. The results shows drug targets gather in a specific cluster of an enzyme-centric network of the cancer cell contribute to controllability In this study, we have explored the relationships between structural network controllability, topological parameters, and network medicine (metabolic drug targets). We have applied a topological analysis to genome-scale metabolic models of 15 normal and corresponding cancer cell types. First, we have constructed metabolite- and enzyme-centric networks based on the metabolic SBML files. We have performed primary topological analysis to check whether there are any structural differences in the metabolite-centric and enzyme-centric of normal and cancer metabolic networks. The results show all constructed networks satisfy scale-free and small-world properties. But there is not any significant differences between normal and cancer tissues. Next, we have used the MDS concept in metabolic networks since controlling cancer metabolism through internal signals seems more reasonable biologically. Metabolic networks are appropriate choice because they allow us to consider both metabolite-centric and enzyme-centric networks separately. Based on an assumption (the targets of approved anticancer metabolic drugs are driver nodes and therefore control cancer metabolic networks), we wanted to explore whether it is possible to explore topological parameters which could specify driver nodes in the metabolic networks. So, we have done two studies based on the MDS controllability concept in the enzyme-centric metabolic networks: 1) to check whether driver nodes tend to be part of centrality indexes such as highly connected nodes (Hubs). 2) to explore topological parameters which could specify driver nodes in the metabolic networks.In performing centrality analysis, the distribution of drug targets among the 100 top of twelve centrality parameters was not significant. It means that drug targets avoid being highly connected enzymes. So, different centralities used in this study could not consider as a driver node for controlling systems. Motifs, as another local property of networks, have also been examined and there was no difference in metabolite-centric networks of cancer and normal cell types, but there were significant discrepancies in the enzyme-centric networks of cancer cells and their corresponding normal cell types. The number of clusters between cancer and corresponding normal cell networks show no significant differences, but characterizing drug targets in enzyme-centric clusters shows that most of the drug targets belong in one specific cluster of an enzyme-centric network. Therefore our results indicate that besides primary network parameters, more complex network metrics such as motifs and clusters may be also appropriate parameters for controlling the metabolic systems. Besides, for metabolic networks, enzyme-centric networks could be more reliable in the context of controllability, although little attention has been paid to such networks in systems controllability. The outcomes of metabolic network controllability could create insights into the discovery of novel drug targets.The results also suggest considering DCS File S1Compare metabolites and reactions between normal and cancer models .(RAR)Click here for additional data file.File S2Lists of metabolites and reactions of cancers models.(XLSX)Click here for additional data file.File S3Lists of metabolites and reactions of normal models.(XLSX)Click here for additional data file.File S4Constructed networks .(RAR)Click here for additional data file.File S5Summary definition of the different parameters.(DOC)Click here for additional data file.File S6Anticancer metabolic drugs and their targets.(XLSX)Click here for additional data file.File S7Metabolic functions of the drug targets.(XLSX)Click here for additional data file.File S8Primary topological parameters for all constructed networks (including metabolite- and enzyme-centric directed and undirected networks).(RAR)Click here for additional data file.File S9Centrality data .(RAR)Click here for additional data file.File S10Motif data .(RAR)Click here for additional data file.File S11Clustering data .(RAR)Click here for additional data file.File S12Power-law plots for every constructed network with fitting results (including metabolite- and enzyme-centric directed and undirected networks).(RAR)Click here for additional data file.File S13Network construction procedures.(DOCX)Click here for additional data file."}
+{"text": "The molecular complexity of genetic diseases requires novel approaches to break it down into coherent biological modules. For this purpose, many disease network models have been created and analyzed. We highlight two of them, \u201cthe human diseases networks\u201d (HDN) and \u201cthe orphan disease networks\u201d (ODN). However, in these models, each single node represents one disease or an ambiguous group of diseases. In these cases, the notion of diseases as unique entities reduces the usefulness of network-based methods. We hypothesize that using the clinical features (pathophenotypes) to define pathophenotypic connections between disease-causing genes improve our understanding of the molecular events originated by genetic disturbances. For this, we have built a pathophenotypic similarity gene network (PSGN) and compared it with the unipartite projections (based on gene-to-gene edges) similar to those used in previous network models (HDN and ODN). Unlike these disease network models, the PSGN uses semantic similarities. This pathophenotypic similarity has been calculated by comparing pathophenotypic annotations of genes in the \u201cHuman Phenotype Ontology\u201d. The resulting network contains 1075 genes (nodes) and 26197 significant pathophenotypic similarities (edges). A global analysis of this network reveals: unnoticed pairs of genes showing significant pathophenotypic similarity, a biological meaningful re-arrangement of the pathological relationships between genes, correlations of biochemical interactions with higher similarity scores and functional biases in metabolic and essential genes toward the pathophenotypic specificity and the pleiotropy, respectively. Additionally, pathophenotypic similarities and metabolic interactions of genes associated with maple syrup urine disease (MSUD) have been used to merge into a coherent pathological module.Our results indicate that pathophenotypes contribute to identify underlying co-dependencies among disease-causing genes that are useful to describe disease modularity. Phenotypes are the result of the expression of specific genetic backgrounds submitted to the influence of changing environmental conditions th century following Osle\u0155s principles However, current pathognomonic classifications are influenced by the traditional clinical procedures used during the 19In this work, network medicine approaches have been used to study the pathological relationships among genes using semantic similarities (that in this case are pathophenotypic similarities) instead of inferred unipartite edges (gene-to-gene) from bipartite edges (disease-to-gene associations). For instance, a classification of four distinct disease-to-gene associations is proposed to illusSummarizing, this work provides evidence that a standard phenotypic profiling expands the genetic disease associations using a specific ontology for human abnormalities. These pathologic relationships among genes were not obvious and, consequently, disregarded in previous disease network analyses.http://www.omim.org/). HDN represents a bipartite projection of edges with two types of nodes, genes (MIM genes) and diseases (MIM phenotypes and genes/phenotypes) as described in OMIM. We followed a similar methodology to the one described by Goh et al. In the present study, we worked on an updated version of the \u201cHuman Diseases Network\u201d (HDN) An updated version of the \u201cOrphan Disease Networks\u201d (ODN) Both HDN and ODN were decomposed into four subclasses, based on the classification of the different types of disease-to-gene associations : monogenth percentile that corresponds to the top 2% of significant gene pairs with higher semantic similarity values. To assess this clustering process of PSGN in the top 2% of phenotypic similarity, we plotted a kernel density distribution of probability of the pathophenotypic similarity for gene pairs . Previously, we had to describe the pathophenotypic space for genes as the set of clinical features (HPO terms) associated with each gene. Altogether 4669 diseases and 258 genes have direct annotations of their clinical features in HPO, so these diseases and genes have a list of HPO terms describing their phenotypic space. However, the lack of specific HPO terms regarding phenotypic abnormalities for many disease-causing genes hinders the explanation of their semantic relationships in the ontology. Many genes are annotated in the ontology with the sum of all HPO terms that describe their associated diseases in Morbid Map. In these cases, we used the file \u201cgene_to_phenotype.txt\u201d (available on HPO website) to link HPO terms and genes. This file was generated using Morbid Map associations between genes and diseases. Therefore, clinical features described in OMIM were translated in a standardized vocabulary of HPO terms that have been used to define a pathophenotypic space. As mentioned above, this pathophenotypic space for a gene can be directly annotated in HPO or indirectly annotated by the diseases associated with the gene in Morbid Map. We used the phenotypic space of genes to calculate their pathophenotypic semantic similarities with other genes. Only HPO terms with maximal information were used in agreement with the ontology properties and distribution of terms . We discarded those branches of the ontology without an explicit description of phenotypic abnormalities such as \u201cmode of inheritance\u201d and \u201conset and clinical course\u201d. We obtained a large pathophenotype gene network based on all semantic similarities between genes sharing HPO terms annotated in the phenotypic abnormality branch of the HPO. Despite an extensive literature review we could not detect a systematic methodology to calculate a cut-off score distinguishing between relevant or non-specific semantic similarities. Previous works used the semantic similarity to validate predictions or to evaluate shared biological features between highly specific subset of genes. However, in this case, we needed an optimal statistical threshold from which the signals, pathophenotypic similarities, should be out of the background noise. The cut-off will predetermine the topology of the network, so it could affect arguments and discussion about the \u201cexpansion\u201d of pathophenotypic relationships respect to current unipartite projections (HDGN and ODGN). If we select a low similarity score we will introduce exponentially nonspecific relationships. In contrast, a very high score will constraint the model to already known pathological relationships. Therefore, we used the subset of known pathophenotypic similarities (gene pairs) in a binary classification system to estimate the optimal statistical threshold . This network of protein-to-protein physical interactions contains 10299 genes (Ensembl gene IDs) and 80922 interactions supported by evidence from at least one experiment Metabolic networks are usually based on different metabolic coupling approaches such as metabolite sharing th percentile instead of the 98th. Thus we selected the top 0.5% of gene pairs with higher functional similarities . The functional space of a gene is represented by the set of GO annotations about the biological context where the gene is involved. Thanks to these annotations, genes are directly linked to biological processes describing all the functional features direct or indirectly related to genes. Classical semantic similarity measurements were used to calculate functional similarities between genes according to their functional space. In a similar procedure used for PSGN we removed unspecific functional associations in FSGN generated by irrelevant semantic relationships. However, there are great differences in the number of annotations between HPO and the branch of biological processes of GO. In this case, the main concern is that it resulted in huge size of this dataset. Therefore, we preferred to be quite more restrictive for this threshold, by taking as cut-off the 99.5larities .The way to assign terms to objects is to add annotations. In the present case, the objects represent genes and terms corresponding to phenotypes (HPO terms) or biological processes (GO terms). The specificity of the terms associated with genes allows us to calculate the most significant relationships between them, which use to be related to its proximity to the root. The method we have chosen to calculate the semantic similarity between objects annotated is mainly based on the classical Resnik\u2019s measurement For t1 and t2 terms in the ontology, the semantic similarity proposed by Resnik is defined as:Many studies so far have made a comparison between semantic similarity measurements using the Gene Ontology, but it seems that there is not a gold standard for semantic similarity measures between set of GO terms. In this work we use:Human Phenotype Ontology is still a novel tool and there are not many works related to the calculation of semantic similarity for this data structure. We have chosen the method proposed by the HPO creators for the comparisons between phenotypic profiles The previous equation does not provide a symmetric matrix, since the calculated semantic similarity between g1 and g2 will not be the same as semantic similarity between g2 and g1, so Robinson and co-workers http://igraph.sourceforge.net/). Due to the large number of subsequent analysis of all built network, we provided a schematic workflow of all the essential steps followed for this study . In the case of disease-causing gene networks (HDGN and ODGN unipartite projections of diseasomes), the intersection could provide a broad view of the similarity of these networks and the PSGN. Previously, we also calculated the intersection of edges between HDGN and ODGN to assess their mutual similarity. For biomolecular interactomes the nodal and edge intersection can be useful to explore the underlying molecular events of pathophenotypic similarities. However, biomolecular interactomes require two steps before the intersection analysis. First, we filter networks to ensure that both compared networks have only intersected nodes to minimize their differences in sizes (see schematic diagram of the process in All gene (node) degrees were calculated for each pathological network and biomolecular interactome, using the iGraph software. Subsequently, a non-parametric test was used to study in each subset of genes the distributions of the node (gene) degree, the number of associated pathophenotypes per gene and the mean value of pathophenotypic similarity per gene. More precisely, a Mann-Whitney test was used to assess the significance of these distributions for gene subsets with the distributions of all genes in PSGN and their respective disease-causing gene network. This non-parametric test was run 1000 times for every subset of genes using a different random sample in each test. These random samples conserved the same size (number of genes) as their respective subset in the correspondent network. Subsequently, we calculated the mean p-value of all runs for every subset. Additionally, a Spearman's rank correlation test (\u03b1\u200a=\u200a0.05) was used to analyze the degree of genes in HDGN, ODGN, PIN, MGN and FSGN with respect to the number of pathophenotypic relationships in PSGN.A binary classification system was used to analyze the performance of intersected interactions between different cellular networks and phenotypic interactions in PSGN. This binary classification is based on signal detection theory, using a receiver operating characteristic (ROC) analysis The projection in networks of the genetic associations data, available in OMIM and Orphanet, shows different patterns of connectivity among diseases and mutated genes . Thus, wThe abundance of genes in each subset indicates how genetic association studies tend to distribute genes with different degrees of specificity for pathologies. In both networks, monotropic genes are found to be the most abundant ones, irrespective of the actual number of genes involved in the diseases . For insThe ratios of diseases per gene agree with a pathological convergence (exclusive associations) and divergence (non exclusive associations) for monotropic and pleiotropic genes respectively . These rFrom the bipartite projections (disease-to-gene) of HDN and ODN, we built their corresponding unipartite projections (gene-to-gene) (as can be seen in HDGN include 749 genes (nodes) and 2654 inferred gene-gene relationships (edges) among them . Howevera priori which indicates strong differences between the two data sources (OMIM and Orphanet).We carried out an analysis of the intersection between both unipartite networks (HDGN and ODGN) to assess an estimation of their similarity. But first we removed all unconnected nodes because they were not considered structural components of these networks. The resulting intersection was 481 genes (intersected nodes) and 662 inferred gene-gene relationships (intersected edges) corresponding to 24% and 10% of edges in HDGN and ODGN respectively . Both neThese results reinforce the hypothesis that the absence of a systematic procedure in the phenotypically characterization of genetic diseases will affect the utility of network medicine methods. In particular, it leads to the isolation of genes and diseases from their real pathological processes, making it practically impossible to identify groups or subgroups of related pathologies. This observed tendency to the exclusiveness considerably increases the disease-gene association specificity that may be of interest for genetic testing.The exclusiveness mentioned above could affect pathological processes with many disease variants. In the case of these diseases, some genes play a primary role in the progression of the pathology but others modulate the phenotypic variability.To tackle this problem, HPO offers possibilities for a formal study of the pathophenotypic relationships among genes on the bases of their semantic similarities (pathophenotypic similarities). Therefore, we defined the pathophenotypic space of each gene, consisting of the set of HPO terms associated with the gene with 1075 genes and 26197 gene-to-gene pathophenotypic similarities . DiseaseAlmost all the pathophenotypic gene annotations used in HPO originally come from OMIM and they represent the sum of all clinical features of diseases associated with a gene. Accordingly, the pathophenotypic similarity for a gene is somehow dependent on the number of diseases associated with this gene (see methods section). Hence, we proceed with a comprehensive study to assess whether the pathophenotypic similarity can be used to reinterpret the pathological relationships between genes was carried out with an analysis of their intersections.The resulting intersections of PSGN with each unipartite projection proved 528 shared nodes and 1055 shared edges for HDGN and 931 and 1669 for ODGN . TherefoWe have also studied how genes in PSGN are distributed in comparison to HDGN and ODGN. Subsequently, we analyzed the degree distribution of genes for each network , as well as for their respective gene subsets . We carried out a Mann-Whitney test to assess the significance of the difference of the degree distribution of each subset in their respective disease-causing gene network and in PSGN . By contThe (apparently) most striking observation is that genes uniquely associated with monogenic diseases (genes in MD-MG and many of MD-PG) are present in PSGN. The vast majority of these genes appeared as unconnected genes in the unipartite projections of HDN and ODN pathophenotypic relationships.Taking into account that metabolic and essential disease genes represent about 18% and 34% respectively of the total disease-causing genes, we also studied how they are represented in each subset of genes in our classification . The subBiunivocal classes (MD-MG) are markedly enriched in metabolic coding genes with respect to the other classes; on the contrary, PD-MG is underrepresented by metabolic enzymes. On the other hand, the pathophenotypes corresponding to metabolic genes do not differ from those of the whole pathophenome the progression of the diseases \u2018A network intersection analysis was carried out using the PSGN as reference and the biomolecular interactomes as queries. Nevertheless, the observed differences in size and density of the studied networks could be the cause that the direct network comparison analysis would provide no useful significance values. Therefore, we decided to standardize the contents of the networks by using the intersection of nodes (see methods section) to minimize differences between the reference (PSGN) and the rest of the networks . This step provokedThe network comparison results show statistically significant intersections of edges for all biomolecular interactome sub-networks compared to their respective PSGN sub-network . This waMost of the published network biology studies have made use of the degree of a node (number of connections with other nodes) to assess its relevance in a network. In fact, node degree has been extensively used in physical interaction networks To estimate whether the abundance of biological interactions for genes is correlated with the number of phatophenotypic similarities in PSGN, we carried out a Spearman's rank correlation test of gene degrees. This test showed weak, but statistically significant, positive correlations between gene degrees for the whole set of genes when PIN was compared to PSGN. No significant correlations were found when either MGN or FSGN were compared to PSGN . The valWe analyzed a metabolic disorder named as maple syrup urine disease . MSUD is a genetic disease grouped into aminoacidurias and caused by a decreased activity of the branched-chain alpha-ketoacid dehydrogenase (BCKD) complex. It catalyzes the first steps for the degradation of branched-chain amino acids . This enzymatic complex has three subunits encoded by four different genes BCKDHA-E1A (Entrez GeneID 593), BCKDHB-E1B (Entrez GeneID 594), DBT-E2 (Entrez GeneID 1629), and DLD-E3 (Entrez GeneID 1738). This inborn error of metabolism is genetically and phenotypically well characterized This metabolic syndrome illustrates the potentials of PSGN. This network provides novel pathological similarities between genes and outlines the pathobiology and functional context of disease-causing genes using metabolic interactions.Finally, given the relevance of the physical interactions, we carried out a manual exploration of the intersection between PIN and PSGN. This is to remove all those gene-to-gene edges in both HDGN and ODGN from the resulting intersection. This resulted in the selection of all the disregarded relationships between genes in unipartite projections of diseasomes that are phenotypically and physically related . TherefoCurrent studies in medical genetics are mainly centered in establishing associations among diseases and genetic variations for personalized medicine. Many of these genetic variations are located in intragenic regions of DNA and they constitute the basic data to build disease-causing gene networks In the future, network integration and standardization of molecular and cellular phenotypes could improve the understanding of the evolutionary mechanisms involved in pathological processes. Further experimental and analytical efforts in this direction are warranted.Figure S1Schematic representation of the workflow of essential steps followed in this study: building network processes, optimal statistical threshold selection, network comparisons, topological analysis and ROC curve construction.(PDF)Click here for additional data file.Figure S2Spearman correlation between the number of pathophenotypes per gene and the average pathophenotypic similarity per gene for PSGN genes.(PDF)Click here for additional data file.Figure S3Graph of the pathophenotypes annotated to maple syrup urine syndrome. Parental nodes are close to the root in the human phenotype ontology and, therefore, with lower specificity. In contrast, child nodes are the most informative and specific pathological phenotypes.(PDF)Click here for additional data file.Table S1Bipartite and unipartite projections of the updated version of the human diseases network.(XLS)Click here for additional data file.Table S2Bipartite and unipartite projections of the updated version of the orphan disease network.(XLS)Click here for additional data file.Table S3Different gene subsets in the human diseases network following proposed classification.(XLS)Click here for additional data file.Table S4Different gene subsets in the orphan diseases network following proposed classification.(XLS)Click here for additional data file.Table S5Different biomolecular interactomes based on physical, metabolic and functional interactions.(XLS)Click here for additional data file.Table S6Biomolecular interactome and PSGN sub-networks after nodal intersections.(XLS)Click here for additional data file.Table S7Pathophenotypic similarity gene network.(XLS)Click here for additional data file.Table S8Spearman correlations between gene degrees in PSGN and HDGN/ODGN.(PDF)Click here for additional data file.Table S9Spearman correlation between gene degrees in PSGN and biomolecular interactomes.(PDF)Click here for additional data file.Table S10Network intersection between PSGN and PIN removing inferred gene-to-gene associations.(XLS)Click here for additional data file.Methods S1(PDF)Click here for additional data file."}
+{"text": "Relative individual information is a measurement that scores the quality of DNA- and RNA-binding sites for biological machines. The development of analytical approaches to increase the power of this scoring method will improve its utility in evaluating the functions of motifs. In this study, the scoring method was applied to potential translation initiation sites in Drosophila to compute Translation Relative Individual Information (TRII) scores. The weight matrix at the core of the scoring method was optimized based on high-confidence translation initiation sites identified by using a progressive partitioning approach. Comparing the distributions of TRII scores for sites of interest with those for high-confidence translation initiation sites and random sequences provides a new methodology for assessing the quality of translation initiation sites. The optimized weight matrices can also be used to describe the consensus at translation initiation sites, providing a quantitative measure of preferred and avoided nucleotides at each position. MEME [Understanding how biological machines work in the context of genomes, transcriptomes, and proteomes requires appropriate languages and representations for successful modeling of their biological processes. Information theory provides one of the foundations for this goal and underlies sequence motif-finding algorithms such as MEME . For exaMEME \u20134. The aIn this study, several analytical approaches are integrated to increase the power of these scoring methods using Drosophila translation initiation sites as a model setting. As an introduction, we describe first the information theoretic basis for these scoring methods. Motifs of functional importance can be quantitatively assessed through their sequence conservation, measured as information content in sets of aligned sequences , 5, 6. TThe summation represents the uncertainty based on the frequencies of occurrence ncreases . relative information at each nucleotide position It is sometimes important to take into account nonrandom background nucleotide frequencies. For example, the mean frequencies of each nucleotide in Drosophila cDNAs deviate significantly from 0.25 , and thiwhere groups of aligned sequences. The theory can be extended to allow assessment of individual sequences. Measurement of individual information allows scoring of how well an individual sequence conforms to a conserved motif [individual information of The information values defined above are based on ed motif . For exaed motif . Individwhere relative individual information which is defined as follows: Nonrandom background nucleotide frequencies can be taken into account using where ce sites , backgroMEME [distributions of TRII scores for sets of sequences of interest. By appropriate choices of control test TRII score distributions, this approach allows one to interpret score distributions for sites of interest in a probabilistic manner. Analysis of score distributions provides insights into translation initiation: potential initiation sites with TRII scores that resemble high-confidence start sites can be considered likely initiation sites whereas sites similar to random sequences are likely to be weak or nonfunctional for translation initiation. We also discuss how the methods described in this paper can be applied to the initiation context scoring method of Miyasaka [Relative individual information scoring of individual DNA and RNA sequences has been discussed previously , and forMEME which arMiyasaka which haMiyasaka . In contAn initial goal of this analysis was to define sets of high-confidence translation start sites whose TRII score distributions could be used as standards for analysis of TRII score distributions of other test sets. Previous studies have tended to rely on \"curated\" gene sets to define training sets of high-confidence translation initiation sites. Instead, we developed a bioinformatics approach to identify large sets of initiation sites in which we could have high confidence.'UTRs has been associated previously with weak contexts of translation start codons in several organisms [In previous studies , 4, we st Figure . Relativt Figure . Consistrganisms .We hypothesized that the depressed relative information levels at annAUGs associated with upAUGs might be explained by the presence of annAUGs that are weak or nonfunctional translation initiation sites. For example, weak or nonfunctional annAUG sites might be expected if there is translation initiation at upAUGs followed by translation reinitiation \u201316 at an'UTRs contain at least 200 nucleotides scores were calculated using a reference set 'UTR \u2265 200) with a series of test sets of cDNAs with increasing numbers of upAUGs (and 5'UTR \u2265 200). To represent weak or nonfunctional annAUGs, we generated the set 'UTR background nucleotide frequencies. Figure We compared a control test set of cDNAs with no upAUGs , and a higher-scoring set of likely functional annAUGs (represented by the 0-upAUG set). For the test set with \u226510 upAUGs, a large fraction of the annAUGs appears to be low scoring and possibly nonfunctional to modify the weight matrices that underpin the TRII scoring method, and (ii) to provide control test score distributions for assessment of scores. We first discuss optimization of the weight matrix. Up to this point, we have used We observed that using 0-upAUG reference sets gives a greater spread of relative individual information values\u2014a higher \"dynamic range\" of scores\u2014compared to using the set of all annAUGs as a reference set Figure . The entThe use of 0-upAUG reference sets is supported by our testing of the TRII score method in budding yeast reveals strikingly similar distributions. This is consistent with gold collection cDNAs being viewed as representative of current annotated gene models. The TRII score distributions for the Gold collection and Release 5.9 predicted genes are both similar to the score distribution for the 0-upAUG set of cDNAs (blue curve), except that both have slightly greater frequencies of low-scoring start sites. We partitioned the Gold set cDNAs with 5'UTR \u2265 200 into two test subsets: those with no upAUGs, and those with 1 or more upAUGs. The 300 0-upAUG cDNAs in the Gold set have a distribution of TRII scores that is very similar to the distribution of the scores using Using the improved weight matrices, we assessed the effectiveness of using score distributions of 0-upAUG sets as control test distributions for analysis of TRII scores. Comparisons of 0-upAUG distributions with distributions for sets of translation initiation sites from the Drosophila genome project support the use of 0-upAUG sets as representative of functional initiation sites. The Berkeley Drosophila Genome Project (BDGP) cDNA sequence set was constructed by sequencing high-quality, full-length cDNA libraries. The annotated ORFs and annAUGs were determined by finding the longest ORF encoded by each cDNA. The sequenced cDNAs (copies of mRNAs), which are part of the Drosophila Genome Project, can be compared with the set of annotated genes and their transcripts that has been assembled based initially on gene prediction algorithms. A subset of the cDNA ORFs that matched ORFs of annotated transcripts in the lection\" . Gold coIn this analysis, we noticed a disparity between TRII score distributions for experimentally observed cDNAs not in the Gold collection compared to Gold collection cDNAs that match predicted transcripts. TRII score distributions were compared using chi-square goodness of fit tests assess upstream AUGs through comparisons with control distributions, and (2) assess nonconserved annAUGs using linear combinations of control curves.'UTRs. We examined the TRII score distribution for the set of first AUGs upstream of the annAUG in gold collection cDNAs containing upAUGs (with 5'UTR \u2265 200). The distribution of TRII scores , this suggests that there may be some selection in favor of C or U at this position to reduce the likelihood of translation initiation at upAUGs. These observations suggest that the random sequence set is an appropriate comparison set to represent weak or nonfunctional AUGs in analysis of TRII score distributions. Nucleotide position \u22123 plays a central role in defining the consensus motif for translation initiation in Drosophila . We observed that 57.6% of the upAUGs have C or U at this position, in contrast to only 7.6% of the annAUGs in the 0-upAUG set. Given that 47.5% of random sequences have C or U at this position . The set of reference sequences Release 5.9 Drosophila melanogaster genome are also provided in Supplementary Material The weight matrix used to calculate the TRII scores is provided in Supplementary Material In Table The significant overlap in the TRII score distributions for random sequences and high-confidence initiation sites makes it necessary to treat intermediate TRII scores probabilistically as discussed above. Even though the distributions overlap, the TRII score measure can contribute to future algorithms for assessment of translation initiation in combination with other classifiers that incorporate properties such as RNA structure prediction and sequThe methods discussed to optimize TRII scoring\u2014the utilization of high-confidence sets and probabilistic analysis of score distributions\u2014can also be applied to the initiation context scoring method of Miyasaka . The latIn addition to optimizing the TRII scoring method, the 0-upAUG high-confidence sets were used to improve assessment of nucleotide preferences at translation initiation sites. In particular, the optimized high-confidence sets of annotated translation start sites were used to assess sequence conservation at initiation sites and to compare this conservation with previous descriptions of consensus sequences , 24. Figerations . The relThis optimized 0-upAUG set Figure was useds Figure . The wei'UTRs, the elevation in C at this position is more pronounced scores, are provided in Supplementary Material The collections of genomic and cDNA sequences were stored in a relational database. The database schema is illustrated in Supplementary Figure As described in the Introduction, relative individual information was calculated using the expression 'UTR background frequencies are used to estimate where the sampling correction eviously , 4 assumminimizes the sum of the differences squared between these values and the values of the actual test set distribution We estimated the fraction r Table or . The interface generates a weight matrix from the aligned sequences so that relative information values and relative individual information scores can be calculated for sequences of interest. The interface can be used to assess potential translation initiation sites, or other kinds of motifs for which sets of aligned sequences with the motif are available. We provide a web interface for performing calculations on sets of inputed aligned sequences (TRII: Translation relative individual information; ORF: Open reading frame; BDGP: Berkeley drosophila genome project; upAUG: Upstream AUG; annAUG: Annotated AUG; UTR: Untranslated region.Saccharomyces cerevisiae. An additional supplemental file provides the set of reference sequences S100-199 used to construct the weight matrix, and score distributions for the 0-upAUG control test set S200 and the random test sets Srand. Another supplemental file provides TRII scores for annAUGs of all predicted transcripts in the Release 5.9 Drosophila melanogaster genome.The Supplemental Materials include descriptions of statistical tests to compare TRII score distributions, individual TRII scores, and weight matrices. Weight matrices computed with various reference sets are provided, as well as a schema for the database used in this study, and a summary of the gene sets used for analysis. The Supplemental Materials close with results from a parallel analysis performed in Click here for fileClick here for fileClick here for file"}
+{"text": "The human heel fat pad (HFP) is an effective shock absorber . A remodTwenty-three healthy elderly corpulent and nineteen non-corpulent men and women took part in the experiment. A loading device was used for in vivo testing of the HFP (Figure Thickness variables of corpulent subjects were significantly higher compared to the non-corpulent. The stiffness was found to have a nonlinear behaviour in which corpulent subjects show lower stiffness in the final stage. There was no significant difference in \u03b5.Increased HFP thickness is an adaption process to increased body weight, suggesting that an accumulation of fat cells with good blood supply at micro chamber structure may have occurred. This process protects the macro chamber structure of the HFP against overload that is transferred by micro chambers. Therefore, the micro chamber structure of corpulent elderly may be mechanically more sensitive and damageable than in non-corpulent subjects."}
+{"text": "While there is almost universal agreement amongst researchers that autism is associated with alterations in brain connectivity, the precise nature of these alterations continues to be debated. Theoretical and empirical work is beginning to reveal that autism is associated with a complex functional phenotype characterized by both hypo- and hyper-connectivity of large-scale brain systems. It is not yet understood why such conflicting patterns of brain connectivity are observed across different studies, and the factors contributing to these heterogeneous findings have not been identified. Developmental changes in functional connectivity have received inadequate attention to date. We propose that discrepancies between findings of autism related hypo-connectivity and hyper-connectivity might be reconciled by taking developmental changes into account. We review neuroimaging studies of autism, with an emphasis on functional magnetic resonance imaging studies of intrinsic functional connectivity in children, adolescents and adults. The consistent pattern emerging across several studies is that while intrinsic functional connectivity in adolescents and adults with autism is generally reduced compared with age-matched controls, functional connectivity in younger children with the disorder appears to be increased. We suggest that by placing recent empirical findings within a developmental framework, and explicitly characterizing age and pubertal stage in future work, it may be possible to resolve conflicting findings of hypo- and hyper-connectivity in the extant literature and arrive at a more comprehensive understanding of the neurobiology of autism. Autism spectrum disorder (ASD) is a neurodevelopmental disorder characterized by impaired social interaction and communication, repetitive behaviors, and restricted interests. According to the latest reports, ASD affects nearly 1 in 88 children, and the prevalence continues to grow fMRI signals are thought to arise from signal propagation and dynamical slowing down of fluctuations in anatomically constrained neural networks has made pre-publication datasets of neuroimaging data collected from individuals between the ages of 6 and 60 available to researchers to facilitate and accelerate the discovery of the functional architecture of the autistic brain summarize the current status of the field by highlighting key findings from studies using fMRI to examine task-related and intrinsic functional connectivity in individuals with ASD across various age groups, (2) reveal critical gaps in the literature which have led to an inconsistent characterization of functional connectivity in ASD, and (3) argue that a developmental perspective can help reconcile some extant contradictory findings, and is necessary for future progress in the field.Autism is a disorder with early life onset and variable developmental trajectory children and children with ASD approach to demonstrate functional hypo-connectivity in anterior\u2013posterior connections in adolescents and adults with ASD . A survey of presentations at recent meetings of the International Meeting for Autism Research (IMFAR) and the Organization for Human Brain Mapping (OHBM) suggests that this may in fact be the case. Deen and colleagues conducted ROI-based analyses on data collected from children aged ~13 with ASD and TD control participants. In a poster presented at IMFAR in 2011, they report: \u201cA number of group differences were found in both directions, with no trend toward more differences in the direction of TD>ASD \u2026 in the ROI analysis, 19 correlations were stronger in the TD group, while 38 were stronger in the ASD group\u201d and outside (distant) its neighborhood defined as a sphere of 14 mm radius encompasses a wide range of abilities and levels of functioning. Almost no functional brain imaging data is available from individuals who are considered \u201clow-functioning.\u201d Additionally, because of the 4:1 male:female ratio in diagnosis with ASD reviewed the emerging literature on intrinsic functional brain connectivity in ASD, (2) identified results of hypo- and hyper-connectivity as being partially attributable to the age of participants examined, and (3) proposed that longitudinal studies examining pre- and post-pubertal individuals with ASD are sorely needed to resolve current controversies regarding the nature of brain connectivity abnormalities in the disorder. A developmental perspective will contribute greatly to future research efforts in autism neuroimaging.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "X-ray dark-field scatter imaging allows to gain information on the average local direction and anisotropy of micro-structural features in a sample well below the actual detector resolution. For thin samples the morphological interpretation of the signal is straight forward, provided that only one average orientation of sub-pixel features is present in the specimen. For thick samples, however, where the x-ray beam may pass structures of many different orientations and dimensions, this simple assumption in general does not hold and a quantitative description of the resulting directional dark-field signal is required to draw deductions on the morphology. Here we present a description of the signal formation for thick samples with many overlying structures and show its validity in experiment. In contrast to existing experimental work this description follows from theoretical predictions of a numerical study using a Fourier optics approach. One can easily extend this description and perform a quantitative structural analysis of clinical or materials science samples with directional dark-field imaging or even direction-dependent dark-field CT. X-ray grating interferometry is a very promising candidate to improve current imaging techniques in materials science and medicine without the large effort of creating completely new machines The dark-field contrast signal For thin specimens the x-ray beam passes only through a few structures located behind each other. Because of that, almost all structures that contribute to the dark-field signal in each single detector pixel can be assumed to be parallel and it is easy to deduce their direction and anisotropy from the orientations producing the maximum signal. Up to now it is unknown how the recorded directional dark-field signal is formed for thick samples. Here several differently oriented layers of substructures can lie behind each other, each producing its own direction-dependent signal. Knowing the physics behind the signal formation is a fundamental prerequisite for potential future medical diagnostic and materials science applications as well as direction-dependent computed tomography methods.In this study we show how the x-ray directional dark-field signal of the superposition of arbitrarily oriented structure layers is related to the signal created by each component. In contrast to existing experimental work Let us first focus on the theoretical predictions for the superposition of directional dark-field signals drawn from simulations cf. . For thaEach single sample layer on its own produces a signal, which follows an ence see . This isThe signal of both layers together shows the same angular dependence as the two single layers but with varying amplitude and phase depending on the relative orientation and the amplitudes of the signal of each single layer. When the orientations of the structures in both layers are chosen to be parallel, the sum signal only changes in amplitude with respect to the individual signals. For a relative angle of From these findings we derived a physical model predicting the superposition principle of x-ray directional dark-field imaging. The directional dark-field signal of each single layer Here Starting from this we can express the scattering caused by each sample layer with a two-dimensional vector From the plots in This equation describes the directional dark-field superposition principle for two completely anisotropic sample layers passed by an x-ray beam one after each other. An arbitrary number of further layers can be added by applying One immediate consequence of this equation is that the superposition of two orthogonal structures of equal scattering strength results in a constant scattering profile with respect to the rotation angle. In directional dark-field imaging such a sample will appear isotropic. Furthermore every directional dark-field signal will be a superposition of harmonics of the same angular period and consequently be another harmonic with identical period. This kind of superposition in contrast to small-angle x-ray scattering (SAXS) can be regarded coherent.For two arbitrary scattering directions and strengths the logarithmic sum signal can be calculated by simply adding two harmonics. We predicted the results for the superposition signal by multiplying the fit curves of the single sample layers, which is equivalent to that. The expected curves are shown in Generalizing To realize the simulated situation in experiment we chose a specimen composed of two wooden skewers located one behind the other in the x-ray beam. For these samples scattering mainly occurs in directions perpendicular to the skewer axis because of the numerous wooden fibers oriented along this direction. For the experimental demonstration, we utilized a more involved setup than the simplified one used for the simulations above. We used a tube source for illumination, so that we needed to introduce a source grating and the medial-lateral direction (cube 2). In the first case the superior-inferior direction was pointing upward, while in the second case it was the anterior-posterior direction. This was kept constant for the whole experiment.Both femoral cubes showed a distinct preferred orientation as expected and a rectangle (dominated by cube 2). A large fraction of the area that is occupied by both cubes in the combined sample shows less if no anisotropy at all. This follows directly from the superposition model we derived above and the perpendicular orientation of the structures between both cubes.In summary we have shown how the directional dark-field signal drawn from x-ray grating interferometry can be calculated for samples that are composed of highly anisotropic layers of differing orientation. Starting from theoretical predictions gained from simulations we developed a model for the superposition of the signals originating in two different sample slices: The harmonic oscillations observed for the single layers can simply be added to retrieve the superposition signal. As a direct consequence, layers with perpendicular orientation and similar scattering strength will show no anisotropy in dark-field imaging. We checked the correctness of this model by means of experimental data and found very good agreement.With this model at hand it is now possible to predict and describe the directional dark-field signal for thick samples containing more than one layer of oriented scatterers. This could for example be applied in materials science (e.g. compounds containing carbon fibers or meshes) and even have a large impact on medical diagnostics for example in the case of trabecular bone as we have pointed out in this study. For instance, diagnosis and treatment monitoring of osteoporosis, which is major public health problem through its association with fragility fractures, may be improved by taking interferometric projection images. Osteoporosis is characterized not only by loss of bone mineral density but also by decreasing bone quality including a deterioration of the trabecular microstructure mucal written by Bandyopadhyay and Segre The simulations described in this article were performed using a Fourier optics The experiments were performed at a laboratory setup at the Technische Universit\u00e4t M\u00fcnchen consisting of a High Power X-Ray tube at an acceleration voltage of The wooden skewer and femur cube samples were measured in air while mounted on a plexiglass (PMMA) panel, which was fixed inside an Eulerian cradle manufactured by Huber Diffraktionstechnik GmbH & Co. KG, Germany. This goniometer allowed rotation of the samples around the beam axis. The distances between the gratings were Both cubical bone specimens Click here for additional data file."}
+{"text": "Austrominiusmodestus, on a unique art installation located in Liverpool Bay. Population growth and recruitment success were examined by comparing recruitment rates within disturbance clearings of 4 different sizes and by contrasting population development with early recruitment rates over a 10 week period. Disturbed areas were rapidly recolonised and monocultures of Amodestus. formed within 6 weeks. The size of patch created during disturbance had no effect on the rate of recruitment, while a linear relationship between recruit density and patch size was observed. Density-dependent processes mediated initial high recruitment resulting in population stability after 8-10 weeks, but densities continued to greatly exceed those reported in natural habitats. Given that artificial structures are likely to continue to proliferate in light of climate change projections, free-space is likely to become more available more frequently in the future supporting the expansion of fast-colonising species.Artificial structures can create novel habitat in the marine environment that has been associated with the spread of invasive species. They are often located in areas of high disturbance and can vary significantly in the area of free space provided for settlement of marine organisms. Whilst correlation between the amount of free space available and recruitment success has been shown in populations of several marine benthic organisms, there has been relatively little focus on invasive species, a group with the potential to reproduce in vast numbers and colonise habitats rapidly. Invasion success following different scales of disturbance was examined in the invasive acorn barnacle, The introduction of novel species into vulnerable habitats can impact upon the balance of species and allocation of resources. Although chance and timing play an important role , invasioThe colonisation of natural habitats by an invasive species following disturbance can be offset by the presence of an established native biota , such thA primary factor in determining which species will colonise an artificial structure is its placement, and specifically the proximity (connectivity) of the structure to a source population (i.e. a rescue effect). Many marine species exhibit a planktonic larval stage , facilitArtificial structures are implicated in the spread of invasive and non-native species by acting as stepping stones to dispersal across areas of unsuitable habitat (i.e. sedimentary substrata) . MorpholAustrominiusmodestus has become widespread along UK coasts since its introduction in the late 1940s )d Europe and the ed (e.g. ) and sug"}
+{"text": "After two randomised studies published in 2002 ,2 mild tWhile several prehospital or pre-CPR factors contributing to the patients' outcome are well known and implemented in the BLS and ACLS guidelines, only little is known about the kind and impact of in-hospital contributing factors worsening the chance of surviving the event with good neurological function. After return of spontaneous circulation, major cardiovascular and haemodynamic disorders are widely common and associated with a high rate of deaths within the first 24 hours after CPR. Sufficient post-resuscitation therapy has to include optimal treatment strategies of the cardiovascular and metabolic system, adaequate ventilation support and strategies of neuroprotection . In patiSeveral factors of hospital care are obviously important for survival of post-CA patients. Observational investigations done in Norway and Sweden detected severe differences in outcome of patients admitted to hospital with ROSC after out-of-hospital CA presenting survival rates between 33 to 56% and 14 to 42% respectively [Based on this evidence a prospective observational study was performed in patients admitted to hospital after regaining ROSC and treated using a standardised treatment protocol including instant onset of therapeutic hypothermia, early reperfusion treatment with PCI, and protocol-based early-goal-directed therapy to restore adaequate arterial blood flow in the reperfusion period . The obsDespite the fact that the level of evidence for many of the treatment strategies with the exception of therapeutic hypothermia in post-resuscitation care is weak, the quality of care after admission to the ICU or ED seems to be a somewhat missing link in the chain of survival. The post-resuscitation phase is associated with a sepsis-like syndrome of unknoMany factors Table may contIn our hospital an early algorithm for therapeutic hypothermia based on the standards used during the HACA trial was desiUnfortunately there is only limited access to outcome data of our patients treated before implementation of these SOP protocols, so the data from the CoolBrain Registry are only observational and cannot be compared with a control group before using protocol-driven therapeutic standards. Neurologic outcome was not recorded before implementing therapeutic hypothermia as standard care in 2001; survival rates after OHCA were recorded between 1990 and 2000 as lower than 20%.n = 276) presented a general survival rate of 51% independent of origin, initial rhythm and localisation of the cardiac arrest. Thirty-nine per cent of those patients showed a favourable neurologic outcome (CPC 0.5), 12% severe neurologic disability. In the group of survivors, 69.5% of patients with ventricular fibrillation as the initial rhythm showed an excellent neurologic performance (CPC 1) and 35% of patients presenting with asystole/PEA as well at hospital discharge.Data enrolled from March 2001 to December 2011 (Despite missing a control group before implementing therapeutic hypothermia and standardised treatment protocols for post-resuscitation care, these data show the effect of protocol-based treatment especially on neurologic outcome of those patients. This underlines that more attention has to be focused on optimising and standardising post-resuscitation care to improve survival and neurologic outcome. Treatment of patients with CA does not end with ROSC; despite the fact that there is only weak scientific level of evidence for some singular strategies of post-CA treatment, the combination of an aggressive multifactorial therapeutic approach including temperature management significantly improves outcome. Therefore further clinical trials of other post-resuscitation therapies seem to be essential."}
+{"text": "Genome wide association studies (GWAS) are becoming the approach of choice to identify genetic determinants of complex phenotypes and common diseases. The astonishing amount of generated data and the use of distinct genotyping platforms with variable genomic coverage are still analytical challenges. Imputation algorithms combine directly genotyped markers information with haplotypic structure for the population of interest for the inference of a badly genotyped or missing marker and are considered a near zero cost approach to allow the comparison and combination of data generated in different studies. Several reports stated that imputed markers have an overall acceptable accuracy but no published report has performed a pair wise comparison of imputed and empiric association statistics of a complete set of GWAS markers.P < 10 -5 for type 2 Diabetes Mellitus and compared them with results obtained based on empirical allelic frequencies. Interestingly, despite their overall high correlation, association statistics based on imputed frequencies were discordant in 35 of the 73 (47%) associated markers, considerably inflating the type I error rate of imputed markers. We comprehensively tested several quality thresholds, the haplotypic structure underlying imputed markers and the use of flanking markers as predictors of inaccurate association statistics derived from imputed markers.In this report we identified a total of 73 imputed markers that yielded a nominally statistically significant association at Our results suggest that association statistics from imputed markers showing specific MAF (Minor Allele Frequencies) range, located in weak linkage disequilibrium blocks or strongly deviating from local patterns of association are prone to have inflated false positive association signals. The present study highlights the potential of imputation procedures and proposes simple procedures for selecting the best imputed markers for follow-up genotyping studies. Genome-wide association studies (GWAS) are a promising tool for the identification of genetic markers underlying phenotypes of interest and recently allowed the identification of markers associated with several human complex phenotypes. These sTo overcome these issues, genotyping imputation algorithms were developed. These methods use information provided by high quality markers combined with genome structure information for the population of interest organized in the HapMap database. These procedures can potentially be a nearly zero-cost alternative to increase both power and coverage in individual GWA studies. The imputation procedures allow meta- and pooled analyses of GWAS data generated by distinct genotyping platforms, maximizing their overlap and, consequently, the number of typed individuals. Despite promising, the success of imputation algorithms are relative since they could also amplify non-detected technical errors in genotyped markers, the available HapMap information may not be well consolidated for the population of interest or the applied imputation algorithm may not be well suited for a specific dataset .Here, we present a comprehensive comparative analysis of the data generated by the multipoint imputation algorithm and the data obtained by direct genotyping in a type-II diabetes GWAS dataset. This imputation algorithm uses a Markov chain to infer the allelic frequencies of a marker by the information provided by a large set of flanking markers. The analyzed dataset was generated and organized by the Welcome Trust Case Control Consortium (WTCCC) and is a constituent of a large epidemiological study focused in the determination of genetic markers that could predispose an individual to seven different diseases of interest . In thisThe results discussed herein are based on data available for approximately 2000 individuals accessed by type-II diabetes and 3000 healthy individuals (controls). We limited our evaluation to 387,662 biallelic markers with full information on both observed (genotyped) and imputed genotype frequencies. This set of markers covers all chromosomes, but sex-linked markers, having no major over-representation in any specific chromosome. A detailed list of the examined markers and their respective imputed and empiric frequencies is available upon request. In this report, the term empiric denotes markers whose allelic frequencies were determined by direct genotyping.P-values assuming a multiplicative (log-additive) model of inheritance applied to empiric and imputed frequencies of markers in the complete and filtered dataset. The analysis of Figure Association studies using empiric or imputed frequencies are very sensitive to low quality markers. Accuracy of the Impute algorithm is significantly reduced in alleles showing small MAFs or low calling posterior probabilities . Initialon a -log0 scale aon a -log0 scale arS = 0.80). However, it is important to note some points. Firstly, the wide dispersion of dots around the upper left side of Figure -5 we observed that inferences based on truly genotyped markers yielded evidence for 38 markers possibly associated with type-II diabetes, whereas this number would be 73 SNPs had the same inference been based on imputed markers solely. Approximately 47% of markers that would be considered associated by imputed allelic frequencies were discordant to the evidence derived from direct genotyping. Table Using the filtered dataset, the examined imputation algorithm, as previously described for allele and genotype imputation, also presents a high overall accuracy when comparing the association statistics generated using genotyped and imputed markers . Our empirical analysis demonstrated that the magnitude of the odds ratio of false-positive associations lies in the range of effects typically found in the GWA setting: median 1.26 ; odds ratios were coined to be \u22651 for consistency. However, false-signals from imputed genotypes suggest more commonly protective effects (n = 47) rather than susceptibility effects (n = 26) for the minor allele variant.Next, we sought to examine characteristics of false-positive associations that could be used as predictors of the quality of association signal derived from imputated markers. An analysis of the characteristics of false-positive signals is of paramount importance to guide investigators in appropriately evaluating P-values and the observed bias between associations statistics were plotted against their relative chromosomal positions to diabetes in contrast to their empiric frequencies, inflating considerably the number of associated markers. The number of these \"low imputation quality\" markers is limited especially when compared to the immense number of markers analyzed that could, consequently, pass undetected by common diagnostic analysis.It is accepted that some chromosomal regions, due to a higher number of recombination events, have less consolidated frequency panels in markers underlying these regions in human populations . Allelics Figure thresholds could predict the observed bias between empiric and imputed frequencies. This feature was explored by using more stringent cutoffs for calling rates, Hardy-Weinberg disequilibrium (HWD) and the use of SNPs showing a MAF \u22651%. The number of markers excluded by these quality filters was determined. The minus log transformed association statistics of the remaining imputed or genotyped markers were compared by analyzing their degree of correlation . Initially, we determined markers of our filtered dataset that were also evaluated in the HapMap database. This group is composed of 317,255 polymorphisms and it will be used in our further analysis. For each marker, a haplotypic block was determined using the complete set of markers showing a linkage disequilibrium measure to the specific marker (See methods for further details). Each haplotypic block is composed by a limited set of marker-to-marker r2 statistics. In each block, four different descriptive statistics were evaluated: mean, median, maximum value and variance of the values of the r2 statistic. We plotted separately the four statistics against the observed bias between association statistics of the complete set of markers would also present a higher chance of also being associated. In this scenario, a considerable proportion of markers flanking an associated SNP should also present significant levels of association for the phenotype under investigation. Imputed SNPs located in the same chromosomal region are inferred with similar accuracy since the same haplotypic structure information was used by the imputation algorithm. In the same hand, it is expected that a totally isolated associated marker within a well-known LD block will likely represent a false positive association. To evaluate the validity of this hypothesis, we developed an algorithm implementing a sliding window procedure that determines and collects minus log corrected association statistics of consecutive imputed markers using three different window sizes (see methods for further discussion). We determined different sliding windows size centered in the 73 imputed markers considered associated for diabetes II, these sliding windows were separated in two groups of sliding windows based if their central marker was concordant or discordant to empirically measured association statistics and three different summary statistics were collected.Using box plot graphical representations we evaluated the discriminative values of the different summary statistics of flanking markers as a predictor of imputation accuracy for association statistics. Interestingly, the use of the total sum of association values was very robust to efficiently separate true-positive and false-positive association statistics of imputed markers, independent of the size of the sliding window Figure . Using tIn a complementary way, we used a graphical representation to highlight this feature plotting the corrected association of statistics of sliding windows centered in true-positive and false-positive imputed markers considered associated in human chromosome 10 Figure . In the Genome wide association studies are a promising tool for the determination of genetic signatures that could, when associated with environmental factors, predispose an individual to a phenotype of interest. Quality control of data in a GWAS study has been implicated as an important source of bias and loss of power in both linkage analyses and population-based association studies . ImputatP-values of empiric and imputed allelic frequencies under a log-additive model of inheritance. We used a combined quality criteria of markers showing MAF > 0.01 and calling probability higher than 0,95 and filtered markers showing a considerably higher accuracy between association statistics using imputed and empiric frequencies would be considered associated based on their empiric (directly genotyped) association statistics . The same pattern was observed when different and more stringent significance thresholds were used (10 -6 and 10 -7).This result suggests that imputation methods are prone to inflate the number of markers considered associated in any of the evaluated thresholds in this report. These results are not a contradiction to the overall high accuracy for predicting genotype status previously described. These few highly deviated markers would be considered associated even when using highly stringent significance thresholds (< 10 -7 or lower) which could considerably jeopardize follow-up studies based only on association statistics of imputed markers. Since imputed markers are indispensable for merging the information generated by different platforms or studies , it's important to identify these badly imputed and hugely biased markers.The association of imputation procedures with low density chips can offer a convenient way to enhance the cost efficiency ratio and statistical power of a GWAS, since more individuals/markers can be typed by the same cost . SeveralIn this report, we comprehensively tested several genotyping and imputation quality criteria, haplotypic information and chromosomal location as predictors of the quality of association statistics derived from imputed markers. As demonstrated in other reports dealing with the accuracy of genotypic determination, when the MAF of imputed markers are close to 50% imputatiA commonly accepted source of bias is the use of not well consolidated haplotypic information as an input for imputation algorithms. This could lead to imputed allelic frequencies not coherent to the population under study and, consequently strongly biased association tests. To explore this hypothesis we determined haplotypic blocks centered in each marker of the WTCCC dataset that were also present in the HapMap database. The comparison between the observed biases and four different summary statistics, representing haplotypic block consistency, showed a modest success when variance and maximum values were tested as predictors. Interestingly, the comparison between mean and median values of linkage disequilibrium as predictors showed that imputed markers located in regions showing weaker linkage disequilibrium structure are prone to higher bias. Their imputation and subsequent analysis under different genetic models of inheritance should be carefully done especially if the imputed marker is to be considered strongly associated to the phenotype under study. A similar result was suggested by Bakker P. I.W et al, when constructing a guide to the use of imputed information in meta-analysis of genome wide association studies.-5) in the WTCCC hypertension dataset with similar results - ). All the analyses were conducted on the R statistical environment; the complete set of developed programs can be obtained upon request.Markers typed in a specific chromosome were selected and sorted by their chromosomal position. The association statistics of a marker under a log-additive model of inheritance were collected and using a minus-log transformation plotted (Y-axis) with their position in the sorted vector. Markers in different specific chromosomes were plotted in grey and black, respectively. The bias was determined as the algebraic difference between minus log transformed association statistics derived from direct genotyping and imputation . A haplotypic block was defined as the complete set of rP-values of imputed and directly genotyped markers under a log-addictive model of inheritance was collected and ordered based on chromosomal position. Imputed markers that were considered associated using a pre-defined threshold (10 -5) were determined and classified into concordant and discordant markers in terms of their agreement within the association statistics. A locally developed Perl algorithm constructed sliding windows of different sizes centered in the imputed markers (concordant or not) and collected the set of minus-log transformed association statistics of the flanking markers. A set of summary statistics, such as mean, median and variance of each sliding window was collected and referenced to the central marker. The complete set of raw results, summary statistics and markers comprised in each window can be obtained upon request.The complete set of minus log transformed MAAA: Conducted the statistical analysis, the implementation of the computational routines and drafted the manuscript; PSOL: Supervised the implementation of computational routines; TVP: conducted data filtering analysis and statistical analysis JEK: helped the concept and design of the study. ACP: conceived the study and drafted the manuscript. All authors read and approved the final manuscript.QQ plots of entire and filtered datasets. A. QQ plot of the entire dataset; B. QQ plot of dataset after standard filtering criteria.Click here for fileComplete set of imputed associated markers. All markers that would be considered associated based on imputed allelic frequencies using a significance treshold of 10-5. A markers determined as concordant (STATUS column) could be considered associated by imputed and empiric allelic frequencies.Click here for fileComparison of the number of considered associated markers by empiric and imputes allelic frequencies in hypertension database. Determination of markers showing concordance and discordance of association statistics based on imputed and empiric allelic frequencies based on information provided by hypertension database of WTCCC.Click here for fileThe effects of the use of different minimum thresholds for calling probabilities. We serially tested a series of different minimum thresholds for empiric and imputed frequencies and analysed the effect of such filtering in the remaining dataset by determining the correlation of association statistics and the outlier percentageClick here for fileThe effects of the use of different minimum thresholds for MAF . We serially tested a series of different minimum thresholds for minor allele frequencies and analysed the effect of such filtering in the remaining dataset by determining the correlation of association statistics and the outlier percentage.Click here for fileDispersion plots and histogram of markers showing extreme MAF conditions. Dispersion plots and histogram of markers showing extreme MAF (Minor Allele Frequency) conditions MAF < = 0,01 or MAF > = 0,49Click here for fileComplete set of comparisons of different size sliding windows. Each box-plot represents the tendency observed in association statistics of markers within different size sliding windows.Click here for fileSliding window algorithm applied in hypertension dataset. Each box-plot represents the tendency observed in association statistics of markers within different size sliding windows applied in hypertension dataset.Click here for file"}
+{"text": "The difficulties in the management of the blunt chest wall trauma patient in the Emergency Department due to the development of late complications are well recognised in the literature. Pre-injury anti-platelet therapy has been previously investigated as a risk factor for poor outcomes following traumatic head injury, but not in the blunt chest wall trauma patient cohort. The aim of this study was to investigate pre-injury anti-platelet therapy as a risk factor for the development of complications in the recovery phase following blunt chest wall trauma.A retrospective study was completed in which the medical notes were analysed of all blunt chest wall trauma patients presenting to a large trauma centre in Wales in 2012 and 2013. Using univariate and multivariable logistic regression analysis, pre-injury platelet therapy was investigated as a risk factor for the development of complications following blunt chest wall trauma. Previously identified risk factors were included in the analysis to address the influence of confounding.A total of 1303 isolated blunt chest wall trauma patients presented to the ED in Morriston Hospital in 2012 and 2013 with complications recorded in 144 patients (11%). On multi-variable analysis, pre-injury anti-platelet therapy was found to be a significant risk factor for the development of complications following isolated blunt chest wall trauma . As in previous studies patient age, number of rib fractures, chronic lung disease and pre-injury anti-coagulant use were also found to be significant risk factors.Pre-injury anti-platelet therapy is being increasingly used as a first line treatment for a number of conditions and there is a concurrent increase in trauma in the elderly population. Pre-injury anti-platelet therapy should be considered as a risk factor for the development of complications by clinicians managing blunt chest wall trauma. The use of anti-platelet therapy has increased over the last decade as a result of research which has reported their effectiveness in preventing cardiovascular events in high risk populations. Blunt chest wall trauma accounts for over 15% of all trauma admissions to Emergency Departments worldwide. A retrospective study design was used in order to examine the medical notes of all blunt chest wall trauma patients who presented to the ED of a large regional trauma centre in South Wales in 2012 and 2013. Morriston hospital has approximately 90,000 presentations to the ED per year and serves a population of 450,000 people. Those patients coded as \u2018blunt chest trauma\u2019 or \u2018rib fractures\u2019 were identified using the hospital database. Patients with any significant concurrent injuries were excluded to reduce the effect of confounding.We wished to include sufficient patients that we could present the unadjusted and adjusted odds ratios and 95% confidence intervals for the risk factors for the development of complications following blunt chest wall trauma. Peduzzi et al (1995) suggested that the number of patients needed to ensure sufficient power in a retrospective cohort study is equivalent to ten events per variable (EPV) being investigated. The medical notes were reviewed following guidelines suggested in a study by Gilbert et al (1996). The dataset included demographic variables such as age, gender and injury mechanism. The independent variables examined were defined a priori and consisted of the risk factors for mortality and morbidity highlighted previously in the literature. The South West Wales Research and Ethics Committee confirmed that ethical approval was not required for this study and also waived the need to obtain written informed consent from the patients. All patient information was anonymised and de-identified prior to analysis.The patient\u2019s age, chronic lung disease including; chronic obstructive pulmonary disease or bronchiectasis, pre-injury anti-coagulant use , pre-injury anti-platelet use were all identified from the medical notes. The number of rib fractures was determined by the clinical notes however in the cases where the number of rib fractures could not be determined using the clinical records, then the x-ray report (IMPAX software) was reviewed by the investigators.The development of complications during the recovery phase following blunt chest wall trauma was the composite outcome measure investigated in this study. Data collection for this outcome was completed from the time the patient presented to the ED through to discharge from hospital. Patients were reported to have developed complications if one or more of the following were documented in their medical records; in-hospital mortality, morbidity including all pulmonary complications , ICU admission, an unplanned representation to the ED, or a prolonged length of stay as defined as a total hospital stay of seven or more days.Baseline characteristics were presented as median and interquartile range for the continuous variables and numbers and percentages for categorical variables. Differences between the baseline characteristics were analysed using Mann Whitney U test (continuous variables) and Fisher\u2019s Exact test . Odds ratios and 95% confidence intervals were presented from the univariable analysis. All significant prognostic variables at 5% significance on the univariable analysis were included in final analysis. Multivariable logistic regression analysis using fractional polynomials (to assess linearity of the continuous variables) was used to identify significant predictors using the Likelihood test statistic. There was less than 2% missing data therefore we used a simple imputation of the mean method to avoid exclusion of patients from the final analysis. A total of 1303 isolated blunt chest wall trauma patients presented to the ED in Morriston Hospital in 2012 and 2013 with complications recorded in 144 patients (11%). Data including demographics, independent and dependent variables were recorded for each of the patients. With the exception of recording of eleven patients\u2019 oxygen saturations, there were no missing variables in the dataset. Pre-injury anti-platelet therapy was recorded in 116 patients (9%) of the entire cohort. Aspirin was most commonly used antiplatelet medication , followed by NSAIDs , clopidogrel and combined aspirin and clopidogrel . Warfarin was the most commonly used anti-coagulant followed by Dabigatran . Haemorrhagic events (haemothorax) were recorded in 36 out of 144 (25%) patients who developed complications. No significant association was found between the variables pre-injury anti-coagulants and pre-injury anti-platelets. The only significant associations found were between anticoagulant use and chronic lung disease (p\u200a=\u200a0.001), and antiplatelet use and chronic lung disease (p<0.001). However this association led to no significant interactions in the model on multivariate analysis (p\u200a=\u200a0.77 and p\u200a=\u200a0.78 respectively). Results of the multivariable logistic regression analysis are outlined in As no current guidelines exist for the management of this patient group, recognition of the high risk patient in the ED is not always straightforward due to the nature of the injury and its recovery phase. The blunt chest wall trauma patient who walks into the ED with no immediate life-threatening injury will commonly develop complications up to 72 hours or more post injury, which may also prove life-threatening. 529. This results in an irreversible inhibition of platelet-dependent thromboxane formation. The antithrombotic action of aspirin is due to inhibition of platelet function by acetylation of the platelet cyclooxygenase (COX) at the functionally important amino acid serineOver the last decade, the use of antiplatelet therapy has increased considerably, as a result of national and international guidelines promoting their widespread in high-risk populations and particularly in the elderly. Another difficulty facing emergency physicians in the management of trauma patients using pre-injury anti-platelets is the variation between patients in their response to the medication. Platelet function tests can be carried out on trauma patients in order to assess number and size of platelets and also platelet haemostatic function. The type of tests completed, specifically either global screening tests or specific assays will depend on the testing equipment available at that emergency department. The decision as to whether the blunt poly-trauma patient requires platelet transfusion therefore is dependent on a number of factors. In isolated blunt chest trauma however platelet function may not routinely be considered by the emergency physician even though delayed haemothorax is not an uncommon entity in this patient group. To date, no research exists investigating the effect of pre-injury anti-platelet use in blunt chest trauma. Pulmonary contusion occurs in 25\u201335% of all blunt chest traumas and is defined as an injury to the alveolar capillaries, in the absence of a lung laceration. In a recent study by Harr et al (2013), the use of pre-injury anti-platelet therapy was reported to be associated with a decreased risk of lung dysfunction in high risk blunt trauma patients who receive blood transfusions. One potential limitation of the study is that polytrauma patients were excluded so the results are only generalisable to isolated blunt chest wall trauma patients. The number of haemorrhagic complications was recorded on data collection however data were not collected regarding thromboembolic events in the study population and this information may have been beneficial to the clinician. Similarly the very small number of patients taking anti-platelet therapy other than aspirin precludes analysis into which therapy is most associated with specific complications. Lack of data regarding platelet function in individual patients and platelet transfusions may have influenced the study results.As a result of the study design and the inherent nature of patients, a number of the independent variables investigated were potentially interdependent and an increase in one variable inadvertently leads to an increase in another. Multivariable logistic regression with backward elimination techniques was used in an attempt to address this issue of collinearity. It is also possible that a confounding variable that influences the results was not considered in the data collection or analysis. It could therefore be suggested that the discovered association between anti-platelet therapy and chest wall complications is the result of both risk factor and outcome being related to common underlying unmeasured pathologies of some kind. In prognostic clinical research however this is difficult to overcome due to the nature of the study population and therefore the results of the study should be interpreted with this in mind.The use of the database to identify the patients for inclusion in this study may have resulted in a degree of selection bias. Errors may have occurred in the collation of the list of patients from the hospital database and similarly by the doctors completing the coding form in the ED. Similarly, as the data were being collected for each of the patients from their ED medical notes, reliance was placed on the information being both accurately and legibly documented. This may have led to some error in data collection and should be considered when interpreting the study results. The most appropriate method of overcoming a number of the study limitations is to complete a prospective study.This study has highlighted a number of well-recognised risk factors for the development of complications following blunt chest wall trauma. These included patient age, number of rib fractures, chronic lung disease and pre-injury anti-coagulant use. This is the first study in which pre-injury anti-platelet use has been reported as a risk factor for complications following isolated blunt chest wall trauma. Pathophysiological mechanisms differ substantially between blunt poly-trauma patients suffering trauma-induced coagulopathy and isolated blunt chest trauma patients and as a result, comparisons between such studies are not appropriate. The results of this study are therefore distinctive from any previous research and should be considered by emergency physicians managing isolated blunt chest trauma.Anti-platelet therapy is now a well-recognised risk factor for potential poor outcomes following severe traumatic head injuries and trauma clinicians are becoming increasingly aware of its negative impact in the elderly trauma patient. Despite the limitations associated with a single centre retrospective study, this results of this study have highlighted an important clinical finding that trauma clinicians should consider when managing the blunt chest wall trauma patient in the ED. A prospective multi-centre study is planned to further investigate the impact of pre-injury anti-platelet use on outcomes in blunt chest wall trauma patients."}
+{"text": "Modulating fire suppression efforts in mild weather conditions is an appealing but hotly-debated strategy to use unplanned fires and associated fuel reduction to create opportunities for suppression of large fires in future adverse weather conditions. Using a spatially-explicit fire\u2013succession model developed for Catalonia (Spain), we assessed this opportunistic policy by using two fire suppression strategies that reproduce how firefighters in extreme weather conditions exploit previous fire scars as firefighting opportunities. We designed scenarios by combining different levels of fire suppression efficiency and climatic severity for a 50-year period (2000\u20132050). An opportunistic fire suppression policy induced large-scale changes in fire regimes and decreased the area burnt under extreme climate conditions, but only accounted for up to 18\u201322% of the area to be burnt in reference scenarios. The area suppressed in adverse years tended to increase in scenarios with increasing amounts of area burnt during years dominated by mild weather. Climate change had counterintuitive effects on opportunistic fire suppression strategies. Climate warming increased the incidence of large fires under uncontrolled conditions but also indirectly increased opportunities for enhanced fire suppression. Therefore, to shift fire suppression opportunities from adverse to mild years, we would require a disproportionately large amount of area burnt in mild years. We conclude that the strategic planning of fire suppression resources has the potential to become an important cost-effective fuel-reduction strategy at large spatial scale. We do however suggest that this strategy should probably be accompanied by other fuel-reduction treatments applied at broad scales if large-scale changes in fire regimes are to be achieved, especially in the wider context of climate change.Despite the huge resources invested in fire suppression, the impact of wildfires has considerably increased across the Mediterranean region since the second half of the 20 Wildland fires are a major component of disturbance regimes in many regions th century across different Mediterranean regions Despite the huge amount of resources invested in fire prevention and suppression, the impact of wildfires has considerably increased since the second half of 20In mesic regions of the Mediterranean basin , fuel is now less limiting, and fire regimes appear to be mainly driven by the occurrence of climatically adverse conditions Given that wildfires are currently seen as one of the main drivers of forest landscape changes in many Mediterranean regions, wildfires occurring in mild weather conditions could become a tool to regulate the impact of undesired, destructive, large fires taking place in climatically adverse conditions 2 and an altitude that ranges from sea level to 3102 m. Catalonia has a typical Mediterranean climate with low winter precipitation and hot and dry summers. Moreover, its complex topography induces major variability in climatic and fire weather conditions across the territory. The vegetation is mostly comprised of forest and shrubland. Evergreen species occur in 60% of the total forest area, 73% of which is occupied by conifers , with sclerophyllous and deciduous species covering the remaining 40% The study area was Catalonia, a region located in northeastern of Spain with a land area of 32,115 kmFocverd I fire suppression program) and 90s (Focverd II) st century, prescribed burning programs were also implemented among other efforts to reduce fire risk, but not at sufficiently broad scales to achieve effective reductions During the same period, wildfires burnt about 13% of the wildland area , and both the frequency of fire events and area burnt have increased since the pre-1970 period The MEDFIRE model short overview of the model. The complete description, calibration, and validation processes for the study area can be obtained from previous published work http://www.seles.info/). The current version of MEDFIRE (version 2) has two main sub-models https://sites.google.com/site/medfireproject/). The main purpose of the model is to examine the spatial interaction between wildfires, vegetation dynamics and fire suppression strategies. It was designed to assess how different drivers affect fire regime at short- and medium-term timescales through a quantitative evaluation of their effects on the distribution of the annual area burnt, fire size distribution, and landscape composition. Validation exercises carried out for different time windows with different climate and fire suppression data showed that the model was able to reproduce the basic descriptors of fire regime in our study area We present here a state variables that MEDFIRE uses to describe landscape context and conditions are spatially explicit variables in raster format at 100 m resolution. Land cover type (LCT) and time since last fire (TSF) are dynamic variables, while the static variables are: ignition probability, bioclimatic region, fire spread type (relief- or wind-driven), elevation, aspect and main wind direction.The fire sub-model uses a top-down approach: for each time-step (a year), fires are simulated until the potential annual area to be burnt is reached. Potential annual area refers to the area that is expected to burn according to the historical fire data (1975\u201399 period). According to previous research The vegetation dynamics sub-model assumes that forest cover types are relatively stable, so a type-conversion can only occur after burning. Succession without burning can occur only from shrubland to forest. This land cover change takes place depending on the availability of mature forest in neighbouring cells and the TSF of shrubland that will potentially change. Once a cell is burnt, this sub-model updates the land cover according to two post-fire regeneration approaches:The Applying non-spatial stochastic transitions, using a multinomial distribution with transition probabilities previously published by others By neighbourhood species contagion, considering the neighbours that were also burnt in the current year and shared the same pre-fire cover class. It is important to note that the model cannot handle the complexity derived from possible within-stand heterogeneity since each cell can only be described by a single dominant tree species.Two fire suppression strategies are implemented in the MEDFIRE model:The opportunistic strategy mimics firefighting actions based on the ability to take advantage of opportunities derived from old fire scars. These fires provide firefighting opportunities since they are easy to detect by fire brigades and they strongly decrease fuel load and therefore fire intensity. The implementation of the opportunistic strategy in MEDFIRE suppresses burning in a cell whenever its TSF is below a pre-specified threshold (expressed in years) (n years) .The active fire suppression strategy mimics the overall efficiency of firefighters to anticipate fire behaviour and reduce realized area burnt under determinate fire propagation conditions. This strategy was implemented through two different processes. First, we induced increases in the potential annual area to let burn so as to reproduce the effects of not suppressing small fires and therefore increase the total number of fires in a given scenario. By default, the MEDFIRE model simulates fires until the potential annual area to be burnt is reached, and so increases in potential area burnt result in a larger number of fires per year. Second, we introduced the concept of opportunities tied to fire-specific thresholds in spread rate. In areas in which spread rate is below a pre-specific threshold, firefighters are able to stop the fire spreading, which leads to decreases in the final area burnt nine different treatments of active fire suppression (acting only in years with mild climatic conditions) corresponding to situations of variability in general fire suppression efforts. The nine treatments were defined by combining three levels of potential area to be burnt with three levels of active suppression using spread rate thresholds: (a) the first three levels were simulated through variability in potential area to burn. Baseline annual distributions of area burnt were derived from 1975-99 wildfire statistics . To reproduce the effects of not suppressing small fires , we modified the mean of the lognormal distribution of area burnt in mild years according to the decreasing efforts of firefighters to suppress small fires: (1) High 7.74 ; (2) Average 9.14 ; and (3) Low 9.81 will remain stable in the future (35% is the percentage of adverse years in the period 1980\u20131999) or is set to increase (up to 70%), following recent research We assessed the effectiveness of an opportunistic fire suppression policy based on whether or not to allow unplanned fires to burn in mild weather conditions through scenarios characterized by a progressively decreasing active fire suppression policy . Specifiha/year) and 2. (ha/year) and 2. OTo evaluate the effect of opportunistic fire suppression strategies under the different scenarios, we calculated area suppressed as the difference between potential area to be burnt in a year and the final area burnt. We also tracked the area suppressed in adverse years according to the origin of the fire scar that created the firefighting opportunity: (1) scars of fires simulated in climatically adverse years, (2) scars of fires simulated in climatically mild years, and (3) scars of historical fires . The means and standard deviations of all these variables were used to describe the fire regime obtained under each simulated scenario. All statistical analyses were performed using R software, version 3.0.2 Scenarios with no and medium active fire suppression in mild years allowed opportunistic suppression of 18\u201322% of the target annual area in adverse years (average from 7 to 9), the area suppressed in adverse years would increase to 26\u201337% (low from 13 to 15), the percentage of area suppressed in adverse years also increased to figures of up to 29\u201350% , the area suppressed was lower in scenarios with climate warming has the potential to substantially reshape fire regimes and decrease the amount of area burnt under undesired, extreme climate conditions. However, the potential of this strategy is somewhat limited due to the complexity of the interactions between fuel availability, fire impact, and fire suppression strategies.Given the growing impact of wildfires, the effect of fire exclusion has been extensively studied and debated in many different Mediterranean ecosystems for decades now Fire management based on climate-adapted modulation of fire suppression shares some overlap with the management policy of prescribed burnings implemented in other Mediterranean ecosystems Moreover, in our study and in the current fire regime context, unplanned fires increase landscape heterogeneity but do not seem enough to offset the decade-long general trend towards homogenization due to land abandonment and the coalescence of natural vegetation patches The interaction between area burnt, fire suppression and climate warming had counterintuitive effects on the potential for opportunistic fire suppression strategies to reduce the amount of area burnt in climatically adverse years. The area burnt in adverse years in scenarios with climate warming is consistent with climate change bringing warmer and drier summers and increased fire weather risk i.e. prescribed burning or thinning followed by prescribed burning) is the likely key to effective implementation. In fact, recent research The effectiveness of this opportunistic fire suppression strategy is still relatively low compared to other fuel reduction strategies applied in different Mediterranean-type ecosystems From a purely economic standpoint, opportunistic \u2018let-burn\u2019 fire suppression strategies have a further benefit tied to the fact that they curb the economic losses caused by large fires while also saving on fire suppression resources. In fact, a recent study suggests that the potential savings associated to opportunistic strategies could be substantial To conclude, we suggest that to achieve the stand structure and fuel reduction goals required to minimize large fires in extreme fire weather, this strategy could be accompanied by other fuel-reduction treatments such as large-scale forest thinning or biomass extraction. Further studies are needed to assess the impact of novel fuel-reduction treatments on fire regime. Moreover, the possible impacts of these fire management options on biodiversity and a variety of ecosystem services should be carefully evaluated before cost\u2013benefit analyses can be developed. These potential fuel-reduction treatments should therefore also be evaluated in terms of social, economic and environmental cost\u2013benefit trade-offs."}
+{"text": "Transcriptomicanalyses have been conducted to study how mammalian early embryos cope with their immediate microenvironments especially when stressed from the application of assisted reproductive technologies, maternal nutrition or any other induced external factors. To study potential long term impacts from these stresses, description of early embryo epigenome is necessary. DNA methylation profiling of mammalian early embryo presents important challenges as they are rare biological material. Very recently, a genome-scale, base-resolution timeline of DNA methylation has been characterized for mouse embryo, howeverin vitro cultured embryos in presence of the methtyl donor S-adenosyl methionin showed that in addition to protein coding genes, IncRNAs were also impacted by the treatment. At the DNA methylation level, it showed global hypermethylation in treated embryos and parallel analysis revealed some similar function and network between early embryo transcriptome and methylome. Overall, BEGMP is the first developed and functional methylome platform for non-model spices which allows to survey the transcriptome and methylome from very restricted samples.Commercial platform specific to the study of the bovine methylome do not exist yet. We therefore set to develop one with the constraints of enabling to survey the general topology of the genomic methylome using the limited amount of starting material offered by early embryos and also to provide a cost effective platform with a complete data analysis pipeline. We report the development of the Bovine Embryonic Global Methylome platform (BEGMP) which allows global DNA methylation from as little as 7-8 ng of gDNA starting material (representing 10 expanded blastocysts). Samples are processed through a modified HpaII Tiny Fragments (HTFs) enrichment by ligation-mediated PCR (HELP) assay. Initial surveying of the methylome found in Day-7 and Day-12 bovine embryos suggests a transition during development of methylation marks in repeat containing elements in a class-specific manner showing the potential of the platform to describe the ontology of the establishment of methylation marks during early embryogenesis. The platform was also used to study the impact of embryonic culture conditions where both the transcriptome and the methylome were surveyed from the same samples. Treatment of"}
+{"text": "Clinical pharmacokinetic data on antiretroviral drugs are scarce in African HIV-1-positive patients. Most available pharmacokinetic data are derived from ethnically distinct Caucasian research volunteers. This presentation will focus on the clinical pharmacokinetics training and research outputs of an HIV Research Trust scholarship recipient in Uganda. The work highlights the need for post-marketing pharmacokinetic studies in the target populations in order to optimize therapy for patients in resource-limited settings."}
+{"text": "There exists a large body of evidence pointing to an essential role of sleep in memory consolidation -3. In paslow oscillations with gamma activity and clock-like delta oscillations. The model aims at reproducing evoked responses of auditory and visual stimuli at several frequencies. We extend previous results on the phase-dependent response of isolated cortex to stimu"}
+{"text": "Two theoretical models dominate current understanding of actin-based propulsion: microscopic polymerization ratchet model predicts that growing and writhing actin filaments generate forces and movements, while macroscopic elastic propulsion model suggests that deformation and stress of growing actin gel are responsible for the propulsion. We examine both experimentally and computationally the 2D movement of ellipsoidal beads propelled by actin tails and show that neither of the two models can explain the observed bistability of the orientation of the beads. To explain the data, we develop a 2D hybrid mesoscopic model by reconciling these two models such that individual actin filaments undergoing nucleation, elongation, attachment, detachment and capping are embedded into the boundary of a node-spring viscoelastic network representing the macroscopic actin gel. Stochastic simulations of this \u2018in silico\u2019 actin network show that the combined effects of the macroscopic elastic deformation and microscopic ratchets can explain the observed bistable orientation of the actin-propelled ellipsoidal beads. To test the theory further, we analyze observed distribution of the curvatures of the trajectories and show that the hybrid model's predictions fit the data. Finally, we demonstrate that the model can explain both concave-up and concave-down force-velocity relations for growing actin networks depending on the characteristic time scale and network recoil. To summarize, we propose that both microscopic polymerization ratchets and macroscopic stresses of the deformable actin network are responsible for the force and movement generation. There are two major ideas about how actin networks generate force against an obstacle: one is that the force comes directly from the elongation and bending of individual actin filaments against the surface of the obstacle; the other is that a growing actin gel can build up stress around the obstacle to squeeze it forward. Neither of the two models can explain why actin-propelled ellipsoidal beads move with equal bias toward long- and short-axes. We propose a hybrid model by combining those two ideas so that individual actin filaments are embedded into the boundary of a deformable actin gel. Simulations of this model show that the combined effects of pushing from individual filaments and squeezing from the actin network explain the observed bi-orientation of ellipsoidal beads as well as the curvature of trajectories of spherical beads and the force-velocity relation of actin networks. Listeria monocytogenesin vivo systems are complemented by in vitro assays using plastic beads Listeria pathogen.Cell migration is a fundamental phenomenon underlying wound healing and morphogenesis Listeria pathogen Here we examine computationally the mechanics of growing actin networks. This problem has a long history starting from applying thermodynamics to understand the origin of a single filament's polymerization force In parallel to these microscopic theories, macroscopic elastic propulsion model Note that the widely used terminology could be confusing as the elastic propulsion theory is sometimes called mesoscopic rather than macroscopic. Both terms are justified: the macroscopic mechanics is described using continuum theory, but an actin layer of a few microns thin is certainly a mesoscopic system. The model we present is mesoscopic in the sense that it spans from the microscopic level of individual filaments to the macroscopic level of continuous description of an actin gel. The model is also hybrid because it takes into account both local discrete forces and global network stress. We will mostly use the term \u201chybrid\u201d throughout the paper.The first simple attempt to use hybrid modeling of the lamellipodial edge was recently made in Besides the force-velocity relation, the non-zero curvatures of the trajectories of motile objects in silico hybrid network showed that the combined effects of the macroscopic viscoelastic deformation and microscopic ratchets can explain both concave-up and concave-down force-velocity relations for growing actin networks, bistable orientation of the actin-propelled ellipsoidal beads, and peculiar curvature distributions for the actin-propelled trajectories of the beads.Below, we describe observations of ellipsoidal, rather than spherical, beads that cannot be explained by either microscopic or macroscopic model. This, as well as the complex force-velocity relation and curvature distribution described above, hints that perhaps a hybrid model with individual actin filaments pushing from the surface of a macroscopic deformable actin gel can explain the experiments better. Recent experiments and theory We developed a two-dimensional (2D) simplification of a 3D hybrid model , which iRecently, with our experimental collaborators, we reported observations of the ellipsoidal beads that were uniformly coated with an actin assembly-inducing protein (ActA) To see whether the two existing models of actin propulsion can explain this result, we simulated the motion of actin-propelled ellipsoidal beads as described in the Thus, the elastic propulsion model predicts that beads only move along their long axes, while microscopic ratchet model predicts that beads only move along their short axes, and neither model can explain the observation. In contrast, the full hybrid model predicts that the bead can move in both orientations due to the combination of the elastic squeezing and the geometric spreading of actin and switch infrequently between them on its orientation are shown in We vary the Young's modulus of the actin network by varying the spring constant in our model as described in The effect of the ratio of the number of attached to the number of pushing filaments, role see , which iin silico\u2019 trajectories of the beads and compared them to the experimental observations . Effective viscoelastic behavior of the actin network emerges from the disassembly and breaking of the network. Further details about the model equations and parameters are described in Text S1Supplementary theoretical and computational methods.(PDF)Click here for additional data file.Video S1Simulation of an actin-propelled ellipsoidal bead with mesoscopic model, in which both the macroscopic elastic deformation of the tail and the microscopic branching of filaments are included.(MOV)Click here for additional data file.Video S2Simulation of an actin-propelled ellipsoidal bead with macroscopic elastic model alone, in which branching of individual filaments is not included.(MOV)Click here for additional data file.Video S3Simulation of an actin-propelled ellipsoidal bead with microscopic filament model alone, in which the elastic deformation of the tail is ignored.(MOV)Click here for additional data file.Video S4Simulation of an actin-propelled spherical bead with mesoscopic model, with all new filaments being created via autocatalytic branching.(MOV)Click here for additional data file.Video S5Similar to (MOV)Click here for additional data file.Video S6Similar to Video S4, except that half of the new filaments being created via autocatalytic branching and the other half via spontaneous nucleation.(MOV)Click here for additional data file.Video S7Simulation of an actin-propelled spherical bead with mesoscopic model.(MOV)Click here for additional data file.Video S8Similar to .(MOV)Click here for additional data file.Video S9Simulated force-velocity measurement for actin pedestal pushing elastic cantilever.(MOV)Click here for additional data file.Video S10Simulated force-velocity measurement for a force-clamped actin tail growing from spherical bead.(MOV)Click here for additional data file."}
+{"text": "Genetic variation in gene expression can be measured to estimate the extant of variation in gene expression within a population, and to determine to what degree expression alleles of different genes are connected within regulatory networks. Furthermore, determining whether variation in the expression of a gene is linked to local or distant effects allows us to make inferences about how heritable variation may change depending on gene function, the number of interacting partners, genetic architecture and evolutionary history [Genetic variation can cause changes in gene expression (mRNA abundance) among individuals. This so-called heritable variation in gene expression is affected by genetic variants that are co-segregating with the gene locus . We analyzed the transcriptomes of germinating sibling megagametophytes from two controlled-crossed families with a custom microarray comprised of 32,000 spotted oligonucleotides, which represent over 25,000 unique white spruce genes. Each megagametophyte was split into two halves to provide technical replicates that were analyzed separately. A separate comparison of microarray results and RNA-Seq data has been carried out to validate the quality of the microarray.We set out to characterize segregating variation in gene expression in white spruce . The number of variable genes is comparable to that found between 50 nearly isogenic Drosophila lines [Analysis of two families of sibling megagametophytes (n=18) identified close to a thousand genes with segregating gene expression patterns in both of the two families. Approximately 10% of these genes were shared. Zero replicates are expected to have the same clustering pattern by chance alone . Preliminary comparative genomic hybridization data suggests a significant portion of genes which show segregating gene expression alleles also exhibit CNVs. In follow-up experiments, we will address the amount of dominance between the gene expression alleles by comparing gene expression in megagametophytes versus self-fertilized embryos."}
+{"text": "Triticum aestivum) is a main component of the daily diet but can cause three distinct forms of wheat allergy: Baker's asthma, wheat food allergy and wheat pollen allergy. The panel of wheat allergens is still incomplete. The aim of the study was to identify and characterize wheat allergens for the development of improved diagnostic tests and allergen-specific forms of treatment.Wheat showed IgE reactivity with the complete recombinant glutenin whereas only 5% of Baker's Asthma patients (n=60) showed specific IgE reactivity.We isolated a cDNA coding for the C-terminal part of a low molecular weight glutenin which has not yet been described as an allergen. The C-terminal part as well as the full length protein were expressed as soluble proteins in We identified a low molecular weight as a novel major wheat food allergen which can be used for the development of component-resolved diagnostic tests for wheat food allergy and eventually for specific immunotherapy."}
+{"text": "End-expiratory breath-holds (BH) and Mueller manoeuvres (MM) elicit large increases in muscle sympathetic nerve activity (MSNA). In 16 healthy humans we used functional magnetic resonance imaging with blood oxygen level-dependent (BOLD) contrast to determine the cortical network associated with such sympathoexcitation. We hypothesized that increases in MSNA evoked by these simulated apneas are accompanied by BOLD contrast changes in the insular cortex, thalamus and limbic cortex. A series of 150 whole-brain images were collected during 3 randomly performed 16-second end-expiratory BHs and MMs (-30 mmHg). The identical protocol was repeated separately with MSNA recorded from the fibular nerve. The time course of the sympathoexcitatory response to both breathing tasks were correlated with whole-brain BOLD signal changes. Brain sites demonstrating both positive (activation) and negative (deactivation) correlations with the MSNA time course were identified. Sympathetic burst incidence increased (p<0.001) from 29\u00b16 (rest) to 49\u00b16 (BH) and 47\u00b16 bursts/100 heartbeats (MM). Increased neural activity (Z-scores) was identified in the right posterior and anterior insular cortices , dorsal anterior cingulate (3.42), fastigial and dentate cerebellar nuclei . Signal intensity decreased in the left posterior insula (3.28) and ventral anterior cingulate (3.01). Apnea both activates and inhibits elements of a cortical network involved in the generation of sympathetic outflow. These findings identify a neuroanatomical substrate to guide future investigations into central mechanisms contributing to disorders characterized by elevated basal MSNA and exaggerated sympathetic responses to simulated apneas such as sleep apnea and heart failure. Obstructive and central apneas elicit entrained cyclical surges in efferent sympathetic vasoconstrictor discharge Although the key regulatory nuclei involved with the generation of sympathetic outflow are located within the brainstem, experimental evidence indicates that higher cortical regions also participate in its regulation per se at a time when any cortical neural patterns associated with the volitional motor effort, baroreceptor- and chemoreflex-mediated, emotional and sensory responses have dissipated To date, relatively few studies have integrated information obtained from fMRI-derived indices of brain neural activity with direct microneurographic recordings of muscle sympathetic nerve activity (MSNA) The purpose of the current investigation was to use fMRI in awake healthy humans to determine the brain regions associated with the reflex increases in MSNA evoked by end-expiratory breath holds and Mueller manoeuvres. Based on the results of prior human neuroimaging studies 2] provided written and verbal informed consent for the present investigation, which was approved by the Research Ethics Board of the University Health Network. All participants were unmedicated, normotensive non-smokers with no history of autonomic, sleep, cardiovascular or neurological disorders.Sixteen healthy volunteers [7\u2642 and 9\u2640, age 35\u00b114 years (range 20\u201365 years), body mass index 23\u00b14 kg/mTwo experimental sessions, the physiologic recording and the functional magnetic resonance imaging, were performed in a randomly assigned order on different days but at the same time of day. Participants were familiarized with the experimental procedures during a prior screening and orientation visit. Each individual completed a routine medical examination and MRI-readiness questionnaire to ensure safety within a high magnetic field environment. Participants arrived for each testing session approximately 3 hours after a light meal, which they were instructed to record in detail and replicate on the second study day, prior to the experimental test session. In addition, they were instructed to arrive well hydrated but to abstain from caffeinated, alcoholic and nicotine containing products for 24 hours before each test. Participants voided before instrumentation to minimize the effects of a distended bladder on sympathetic activity and arterial blood pressure 2O) of pressure for 16 seconds. A visual display of mouth pressure was provided continuously to help participants maintain the required level of negative pressure during the Mueller manoeuvres. All participants performed practice trials prior to data collection to familiarize themselves with these procedures and to ensure that the required level of negative pressure could be maintained for the entire 16 seconds. For the breath hold challenges, participants were instructed to hold their breath for 16 seconds following the end of a normal expiration.A minimum 10 minutes of quiet supine rest and spontaneous breathing preceded the performance of three 16 second end-expiratory breath holds and Mueller manoeuvres . There were 30 seconds of rest that separated each apnea. The order of the 6 breathing tasks (3 BHs and 3 MMs) was randomly assigned between participants but kept consistent within each subject for the physiologic and fMRI test sessions. During the apnea protocol, participants wore a nose clip and breathed through a mouthpiece connected in series to a pressure transducer for the measurement of airway load pressure. After a stable baseline had been achieved, participants paused momentarily at end-expiration while a stopper with a small air leak was positioned into the end of the mouthpiece. Participants then generated and sustained -30 mmHg was calculated from successive R-R intervals recorded from Lead II of an electrocardiogram (ECG), respiratory movements were determined by a pneumobelt connected to a pressure transducer and continuous estimates of arterial blood pressure (ABP) were collected non-invasively using automated photoelectric plethysmography Analogue signals for blood pressure, respiratory movements, mouth pressure (200 Hz-sampling), the ECG (1000 Hz), and the raw neurogram (10 kHz) were collected with an on-line data acquisition and analysis system . Pre-breathing task baseline data were averaged over a minimum 60 second period before the first breath hold or Mueller manoeuvre. Peak MSNA and HR increases during each of the six breathing challenges were determined, and the mean of these responses was used for statistical analysis. Only pulse-synchronous bursts of MSNA activity with characteristic rising and falling slopes, and amplitudes that were at least thrice that of the between-burst baseline fluctuations , were included in the analysis. After an acceptable neural recording was obtained, the participant was instructed to maintain the leg in a relaxed position for the remainder of the study. Segments of the neural recording that showed evidence of mechanoreceptor activity caused by muscle tension were excluded from analysis. MSNA was analyzed for frequency (bursts per minute) and incidence (bursts per 100 heartbeats).2, see below) and MSNA data were performed using a computer-based software program (SAS). A critical significance level of p\u22640.05 was set for all physiologic comparisons.All physiologic data are expressed as means \u00b1 SD. Breath hold- and Mueller manoeuvre-mediated changes in all dependent variables were analyzed using a repeated-measures one-way ANOVA. Tukey's post hoc analysis was performed to estimate differences among means. Probability levels during multiple point-wise comparisons were corrected using Bonferonni's approach. Significant differences between breath hold and Mueller manoeuvre were analyzed using a paired t-test. Statistical analyses for HR, end-tidal carbon dioxide . Foam pads were positioned on either side of the head, under the elbows and knees to minimize head movement and participant discomfort during scanning. Gradient-echo echo-planar imaging-sensitive blood oxygen level-dependent (BOLD) contrast was used to identify cortical regions in which blood flow and/or metabolism changed (from baseline) during each of the apneas 2 measures were obtained during the neuroimaging sessions using an MRI-compatible vital signs monitor . Baseline ETCO2 data were averaged over all complete respiratory cycles collected during the 30 second period before the first breathing challenge. In addition, the ETCO2 during the first breath following each breathing challenge was compared to baseline.The methods and equipment described above for the apnea protocol were repeated during scanning. In addition, MRI-compatible goggles provided continuous visual feedback regarding the level of developed negative airway load pressure during the Mueller manoeuvres and headphones were used to provide instructions and communicate with the participants during and between scanning periods. Continuous ECG and ETCO2 and/or perfusion variations) using the Linear Model of the Global Signal (LMGS) extension for SPM8 Whole cortical BOLD fMRI images were analyzed using statistical parametric mapping software per se, while attempting to minimize cortical neural activity changes influenced by volitional, baroreceptor, chemical and/or sensory stimuli. For each participant, the average time course of the MSNA response elicited by the six breathing challenges was characterized and used to construct a model that was correlated with the BOLD fMRI time series data at each individual voxel in the brain. Specifically, the MSNA time course profile involved determination of the time delay and the total duration of the MSNA response for each participant or the MMs (41\u00b17 mmHg) were not different (p>0.18) from the baseline values obtained during the last minute prior to the start of the apnea protocol (40\u00b15 mmHg).The MNI coordinates and statistical scores of brain regions that demonstrated significant increases and decreases in BOLD signal intensity are shown in The aim of the current investigation in awake healthy humans was to identify, using BOLD fMRI time series images, the autonomic cortical network associated with apnea-induced muscle sympathetic nerve activity. Brain regions engaged by the MM and BH included the insular cortex, anterior cingulate cortex and cerebellum. In the present study there was concordance between the brain regions highlighted and those previously reported to be involved with the sympathetic response elicited by the non-volitional stresses of lower body negative pressure Although they do not replicate precisely the complex neural and chemical events triggered by obstructive and central apnea during sleep, the performance of such interventions, which are amenable to standardization, by awake volunteers has yielded novel insight into the magnitude and time courses of the hemodynamic and neural responses elicited by these stimuli in health and disease 2 values following the MM and BH (likely because both were performed at end-expiration and were of relatively short duration) argues against significant engagement of this population of receptors by the present protocol.With BH, this sympathoexcitation occurred sooner than with the MM. The increase in MSNA elicited by BH is mediated primarily by peripheral chemoreflex activation Because of the relatively large between-subject variations in the time delay and duration of the sympathoexcitatory responses, for each participant, the temporal BOLD regression model was based on their specific MSNA time delay and duration of sympathoexcitation elicited by the BHs and MMs, respectively. In comparison, the within-subject variations in the MSNA time delay and duration were relatively consistent. Therefore, we applied a statistical paradigm, which ensures that between-subject differences in the temporal MSNA response are accounted for Two brain regions that demonstrated increased BOLD signal intensity matching the time course of the apneic MSNA responses were the right insular cortex and the dorsal portion of the anterior cingulate cortex (ACC). Both have been implicated as important cortical structures involved in the regulation of cardiovascular function. Direct electrical stimulation of the human right insula The role of other brain regions that displayed increased neural activation during the sympathoexcitatory response to the apneas, including the supramarginal gyrus, precentral gyrus, superior, middle and medial frontal gyri, are less well understood with respect to autonomic cardiovascular function. Activation of these regions has previously been observed during respiratory challenges including inspiratory loading It has long been recognized that the cerebellum plays a significant role in the regulation of autonomic cardiovascular function Several loci, including the ventral portion of the ACC and the left posterior insular cortex, exhibited decreased fMRI BOLD signal intensity during the periods of apnea-evoked elevated MSNA. These structures may have sympathoinhibitory functions during basal conditions. Their deactivation may be required for reflex-mediated sympathoexcitation to fully emerge. A similar pattern of decreased BOLD signal intensity within these two brain areas has been reported to accompany also the increased sympathetic vasoconstrictor response elicited by baroreceptor unloading Other cortical areas that demonstrated a similar pattern of fMRI signal change included discrete regions of the frontal cortex including the precentral gyrus, and middle/superior frontal gyrus, which encroaches upon parts of the premotor and supplementary motor areas. The main role attributed to the prefrontal cortex concerns executive function. The exact role of this brain area related to autonomic control is unclear but activation within a similar region has previously been linked with the processing of baroreceptor stimulation in humans Because high-frequency radio pulses emitted during the fMRI scanning sequences saturate the microneurographic recording, it is not possible to collect simultaneously both signals during the same session. We elected to acquire BOLD signal intensity images and MSNA recordings on two separate days but according to a stringent protocol designed to minimize day-to-day variability of our signals. Beforehand, each participant engaged in apnea training sessions and on both study days, participants followed a standardized protocol prior to each experimental session to ensure that diurnal variation, hydration status, daily physical activity, sleep duration, nutritional content and consumption time of the pre-test meal were all controlled for. A recent investigation, in which a protocol of 4 second quiescent periods between 4 second BOLD fMRI scanning periods was applied to capture intermittent recordings of a stable microneurographic signal, provides encouragement that this technical limitation might be overcome in the future Limitations to the current study include the need to record MSNA and BOLD fMRI data on separate experimental days. The corresponding assumption is that the magnitude and timing of the evoked MSNA response to the apneas are consistent over repeated sessions. Although the MSNA response to head-up tilt 2 observed post-BH and MM may have been caused by a relatively large inspiration at the end of the apnea due to a corresponding increase in respiratory drive, resulting in a larger tidal volume and a dilution of alveolar PCO2, and that without continuous recordings of arterial blood pressure and blood gases (O2 and CO2) we cannot precisely isolate the relative contributions of baroreceptor, peripheral and central chemoreceptor sensory input on the cortical BOLD responses.We acknowledge that the lack of increase in ETCOWe have attempted to minimize the confounding influence that apnea-induced changes in blood gases and intracranial pressure may have on the BOLD signal. However, although the LMGS method was used, it is still possible that some of the observed BOLD signal changes may originate from non-neuronal factors. Furthermore, we did not observe significant BOLD signal changes within key regulatory regions within the brainstem involved with the generation of sympathetic vasoconstrictor outflow . Factors that may have enhanced our ability to detect discrete brainstem autonomic nuclei include further minimization of participant head motion during the apneic challenges, and the inclusion of a second dedicated BOLD fMRI scanning session focused only on the brainstem. It is important to emphasize that the purpose of the present study was not to map cortical autonomic networks associated specifically with baroreceptor or chemoreceptor influences but to identify the brain regions involved with the generation or regulation of sympathetic vasoconstrictor outflow in response to these two apneic manoeuvres. Consequently, for each breathing challenge, fMRI image analysis focused on integrating data acquired over the time intervals when MSNA was highest and the potential influences of baroreflex and volitional stimuli were least. Identification of brain regions involved specifically with the detection and integration of these three afferent signals merits future investigation.This study establishes the functional organization of the cortical brain network associated in awake healthy individuals with the sympathoexcitatory responses elicited by Mueller manoeuvres (as simulated obstructive apnea) and breath holds . Importantly, a key strength of this investigation was its focus on healthy young individuals, in whom BOLD signal responses are unlikely to be affected unpredictably by age or the presence of co-morbidities. Specific brain regions that demonstrated increased BOLD signal that correlated with the time course profile of the MSNA signal included the right insular cortex, dorsal anterior cingulate cortex, cerebellum, and widespread areas of the fronto-parietal cortex. Conversely, brain areas that showed decreased fMRI signal during periods of augmented sympathetic vasoconstrictor outflow evoked by the apneas included the left insular cortex, ventral anterior cingulate cortex, precentral gyrus and hippocampus. It is plausible that these brain regions may be important for inhibiting sympathetic outflow in the rested state and that the removal of this sympathoinhibitory function during autonomic challenges is necessary to elicit the increases in MSNA observed during the apneas.The current findings provide a neuroanatomical substrate that may be utilized to help elucidate potential regions of central autonomic dysfunction in patient populations characterized by exaggerated basal and apnea-induced increases in MSNA such as heart failure and sleep apnea"}
+{"text": "Dear Editor,We read with great interest the article by Baris Afsar entitled \"The relationship between erythropoietin resistance and antibody response to hepatitis B vaccine in hemodialysis patients\" published in your valuable journal. He analyzed the relationship between anti-HBs response and erythropoietin (EPO) resistance among patients undergoing maintenance hemodialysis and demonstrated that EPO resistance is negatively associated with both anti-HBs levels and seroconversion status among these patients .Hyporesponsive to EPO therapy or EPO resistance and effectiveness of hepatitis B virus (HBV) vaccination in patients with end-stage renal disease (ESRD) are important issues among these patients. Unfortunately, EPO resistance is relatively common and it may be an important clinical observation since a hyporesponsive to EPO therapy and need to higher doses of EPO may be associated with increased mortality, an effect that persists after adjustment for the usually lower hematocrit in such patients -4.A variety of factors may cause patients to be relatively resistance to EPO including absolute iron deficiency which may be due to external blood losses, bone disease due to secondary hyperparathyroidism or the accumulation of aluminum in bone, chronic inflammation, the administration of angiotensin converting enzyme inhibitors and/or angiotensin II receptor antagonists, unsuspected hematologic disorders, development of pure red cell aplasia and etc. -9.Compared to the overall effectiveness of HBV vaccination in patients without renal failure (a response rate of over 90 percent), the effect of this vaccination is reduced among patients with ESRD because of the general suppression of the immune system associated with uremia. It appears that only 50 to 60 percent of these patients develop antibodies following HBV vaccination. The rate of response is higher among patients with chronic kidney disease not requiring dialysis, suggesting that the immune response is positively associated with the degree of renal function -12.Although it could be possible and the results of Afsar study suggested that EPO resistance was negatively associated with anti-HBs levels, however, the study has limitations including retrospective design, small number of patients, not available reliable information about the brand of vaccines and the results of the study cannot prove a cause and effect relationship between EPO resistance and anti-HBs levels. Therefore, further prospective researches with a larger number of patients are needed to highlight the underlying mechanisms of EPO resistance and relationship between it and anti-HBs levels and seroconversion status among HD patients."}
+{"text": "Urinary tract infection (UTI) is a well-recognized early complication in renal transplant recipients (RTR) and can have significant bearing on their outcome. The recent rise in incidence of extended spectrum beta lactamase (ESBL) producing bacteria causing UTI among RTR poses new and significant challenges in terms of management and outcome. Our aim is to analyze the effect of ESBL producing bacteria causing UTI in these patients and its impact on allograft function.We reviewed the medical records of 147 RTR who were followed at a tertiary care hospital affiliated transplant center between January 2007 and May 2013 and noted five RTR who developed episodes of ESBL producing bacteria related UTI during follow up. Multiple patient characteristics including demographics, immunosuppression, recurrences, allograft function and outcome were analyzed.Five patients (3.4%) out of 147 had ESBL producing bacteria related UTI. We found all patients to be above 60 years of age, with three out of five being females, and all five patients had diabetes mellitus. We identified a total of 37 episodes of UTI among these five patients during this period. Two of these patients had elevated creatinine values during the episodes of UTI and three of them developed bacteremia. Of the five patients, four of them had a favorable outcome except for one patient who developed persistent allograft dysfunction.RTR are at a higher risk for developing ESBL producing bacteria associated UTI. Early diagnosis along with appropriate and judicious use of antibiotics will ensure long term success in allograft and patient outcome. Renal transplants have become the standard of care for end stage renal transplant (ESRD), thereby increasing the number of patients on immunosuppressive regimen who are extremely susceptible to a host of infections in the post-transplant phase We would like to address the issue of extended-spectrum-beta-lactamase (ESBL) producing bacteria causing UTI among renal transplant recipients (RTR) We reviewed the medical records of 147 renal transplant recipients (RTR) who were followed at a tertiary care hospital affiliated transplant center between January 2007 and May 2013 and noted five RTR who developed episodes of extended-spectrum-beta-lactamase (ESBL) producing bacteria related urinary tract infection (UTI) during follow up. This study was approved by the Institutional review board at North Shore LIJ Hospital, NY. The patient records/information was anonymized and de-identified prior to analysis. The general policy for urinalysis for post-transplant visits at our center is as follows:First 2 weeks - twice a week2\u20134 weeks - once a week4\u201312 weeks - once in 2 weeks3 months-1 year - once a month1\u20132 year - once in 2 months2\u20135 years - once in 3 months>5 years - once in 6 monthsClean catch mid-stream urine sample is taken. If there is any evidence of UTI such as leukocytosis or positive nitrites/leukocyte esterase, then a reflex culture is sent. All these patients presented with fever and dysuria and were diagnosed with UTI based on urine microscopy and culture results. Antibiotic sensitivity testing of the cultures was used to confirm the presence of ESBL producing bacteria. All patients were on routine immunosuppression protocol consisting of tacrolimus or cyclosporine, mycophenolate mofetil, and prednisone and prophylactic regimen against bacterial infections consisting of cefazolin 1 gm preoperatively and Trimethoprim-Sulfamethoxazole (80/400) one tab daily life long post-transplant. After the treatment of an episode of UTI, urine cultures are done to confirm resolution of the infection. Subsequent episodes were identified when symptoms of UTI occurred with positive urine cultures for the bacteria. These patients are followed lifelong like other RTR, with concern for the recurrence of UTI. This study was approved by the Institutional review board at this health system.Five patients (3.4%) out of 147 had extended-spectrum-beta-lactamase (ESBL) producing bacteria related urinary tract infection (UTI). All patients were above 60 years of age and included 3 female and 2 male patients. Of the two male patients, one was diagnosed with benign prostatic hyperplasia (BPH). Four of them underwent live donor renal transplantation and one received kidney from a deceased donor. All the patients in our study were diabetic. None of them had a ureteral stent inserted in the immediate post-transplant phase. In our study 3 out of 5 patients had episodes of UTI due to non ESBL producing bacteria prior to contracting the ESBL producing one. We identified a total of 37 episodes of UTI among these five patients between January 2007 and May 2013. One of our patients required a ureteral stent later in the post-transplant phase during the course of treatment of urinary stone in the transplanted ureter. None of them were noted to have an episode of rejection. Interestingly two of these patients had elevated creatinine values during the episodes of UTI. One patient was noted to have progressively elevated creatinine during successive episodes of UTI resulting in persistent allograft dysfunction. Of the five patients described in this case study, three developed bacteremia and sepsis. One of them had acute pyelonephritis which progressed into full blown septicemia and shock requiring long term hospitalization and later on developed chronic allograft dysfunction. Carbapenems were the most commonly used treatment in our patients (1 gram ertapenem/meropenem intravenously once daily or 1 gram imipenem intravenously twice daily for 14 days). The potential risk factors we observed in patients other than the genitourinary surgery (kidney transplant) and bladder catheterization were diabetes, prior episodes of non ESBL UTI, ureteral obstruction and ureteral stent, of which all except the prior episodes of non ESBL UTI is applicable to UTI in general.Refer to Refer to Urinary tract infection (UTI) is the most common bacterial infection, representing 40 to 50% of all post-transplant infections As in general community acquired UTI, ESBL producing bacterial UTI is associated with numerous risk factors. In our case analysis we focused on age, gender, living or cadaveric donor kidneys, stent insertion during or post transplantation, antibiotic prophylaxis, immunosuppression, diabetes mellitus, rejection, recurrent episodes of UTI and urinary tract obstruction as possible risk factors in this patient population.There are contradicting data regarding the correlation of age and UTI. A study done in Spain found that age over 60 years is a significant risk factor for ESBL UTI It is a well-known fact that female patients have a higher risk of developing UTI, which is mostly due to difference in anatomy Studies which correlate the type of donor to the incidence of UTI are rare. A study in 2005 noted an increased incidence in UTI in patients who had cadaveric donors Ureteral stents are usually placed intraoperatively to reduce urologic complications post-transplant, the risk of infection being taken into consideration. Studies show that stenting predisposes to UTI and a high recurrence rate of UTI was seen even after stent removal Antibiotic therapy is a significant risk factor for development of ESBL producing bacteria Immunosuppression is an important risk factor for ESBL UTI. A study done by in 2010 showed a higher incidence of UTI in patients who had cyclosporine in their immunosuppression protocol Diabetes mellitus predisposes to UTI in general due to decreased local cytokine secretion in the urinary tract and this relationship has been proven by several studies Recurrent UTI can act as predisposing factor for development of ESBL UTI. A study done in 2011 showed over 75% of patients with ESBL had recurrent UTI in the past Functional or mechanical disorders of urinary tract are other risk factors associated with an increased risk of developing UTI UTI in RTR can have significant negative effects on the allograft kidney and can even lead to allograft failure ESBL producing bacteria related UTI is extremely difficult to treat given the very few drug options available to treat the condition Renal transplant recipients are at a higher risk of developing UTI due to ESBL producing bacteria. As many of the inherent risk factors are non-modifiable, this situation poses a special challenge. Potential adverse consequences of ESBL UTI may include sepsis as well as acute and chronic allograft dysfunction. Efficient management of these patients with a high index of suspicion, prompt diagnosis and use of appropriate antibiotics can result in successful allograft and patient outcome. Continued monitoring on a large scale with close attention to the treatment outcome will help understand and manage this evolving disease."}
+{"text": "Electrostatic forces play a large role in determining the strength of protein-ligand interactions, and the calculation of pKa value shifts upon ligand binding is therefore an important component of any accurate protein-ligand binding calculation. However, such pKa calculations are rarely performed in virtual screening experiments due to the unavailability of ligand solution pKa values and the difficulty in generating the required charge distributions for each ligand protonation state. We present a freely available web-based database of small-molecule pKa values that automates the task of retrieving protonation states and solution pKa values for small-molecule ligands so that these can be used with tools such as PRODRG and PDB2PQR for generating the necessary parameters for a structure-based pKa calculation of a protein-ligand complex. The database contains a total of 348 pKa values and represents a significant step towards performing accurate automated pKa value calculations in virtual screening experiments."}
+{"text": "Differences in mRNA expression levels have been observed in failing versus non-failing human hearts for several membrane channel proteins and accessory subunits. These differences may play a causal role in electrophysiological changes observed in human heart failure and atrial fibrillation, such as action potential (AP) prolongation, increased AP triangulation, decreased intracellular calcium transient (CaT) magnitude and decreased CaT triangulation. Our goal is to investigate whether the information contained in mRNA measurements can be used to predict cardiac electrophysiological remodeling in heart failure using computational modeling. Using mRNA data recently obtained from failing and non-failing human hearts, we construct failing and non-failing cell populations incorporating natural variability and up/down regulation of channel conductivities. Six biomarkers are calculated for each cell in each population, at cycle lengths between 1500 ms and 300 ms. Regression analysis is performed to determine which ion channels drive biomarker variability in failing versus non-failing cardiomyocytes. Our models suggest that reported mRNA expression changes are consistent with AP prolongation, increased AP triangulation, increased CaT duration, decreased CaT triangulation and amplitude, and increased delay between AP and CaT upstrokes in the failing population. Regression analysis reveals that changes in AP biomarkers are driven primarily by reduction in I A growing number of studies examine cardiac tissue mRNA expression levels in an attempt to characterize electrophysiological remodeling associated with disease conditions such as heart failure and atrial fibrillation et alLinking mRNA changes to AP and CaT alterations has several complications, as recently reviewed by Nattel et alDespite these challenges, mRNA expression data provides information on heterogeneity and variability in the heart, in both healthy and diseased states. In this study, we aim to show how computational modelling can be used to understand the electrophysiological consequences of differences in mRNA expression levels between failing and non-failing human hearts. The methodology proposed is flexible and can be applied to any set of mRNA measurements and models. We illustrate its potential by focussing on the ventricular component of the dataset recently obtained by Ambrosi AP and CaT properties are quantified across both populations and compared to experimental measurements obtained in failing and non-failing human ventricles. We then predict the electrophysiological response of human ventricular myocytes at different stimulation rates and quantify the relative importance of each ionic current in determining AP and CaT differences in the human non-failing and failing cell populations.et almRNA expression data The O\u2019Hara-Rudy (ORd) human ventricular endocardial model et alThe stimulation protocol mimics the one used by Lou As illustrated in To quantify the relative importance of ionic conductances in determining changes in the biomarkers, linear regression To determine the effectiveness of this fit, the correlation coefficient The closer https://computation.llnl.gov/casc/sundials/) called from Chaste. A backward differentiation formula method is used to integrate the differential equations with absolute and relative error tolerances 10http://www.cs.ox.ac.uk/chaste). Matlab data analysis scripts are also included. All simulations are performed on a 512 core cluster utilising 2.8GHz Intel processors at the Oxford Supercomputing Centre (OSC).All numerical simulations are performed using our open source cardiac simulation software Chaste et alAs shown in et alAs shown in Table S2 in As shown in CaTD80 is increased at all BCLs compared with the non-failing population G\u2013I. At As shown in Our simulations show that CaTD3080 values display a complex behaviour that is dependent upon the BCL in both the non-failing and failing populations. At 1500 ms BCL, CaTD3080 values for the non-failing population display a bimodality in their distribution corresponding to two subpopulations of cells, the larger one close to the value shown by the original ORd model, and the other one with markedly reduced CaTD3080 values. The latter disappears with decreasing BCLs below 1000 ms in the non-failing population. In the failing population however, the bimodality appears for BCLs et alet alAs illustrated in At 1500 ms the median value for DAPCaT in the failing population is 17.4 ms, as opposed to 10.9 ms in the non-failing population. At a cycle length of 300 ms, the median value for the failing population is 13.1 ms and the median value for the non-failing population is 8.6 ms.In order to determine the potential correlation between the different biomarkers values shown above, We further exploit the potential of a population-based computational approach to investigate the relative importance of ionic properties in determining changes in each biomarker in failing versus non-failing human cardiomyoctes. The correlation found in the previous section with respect to AP and Ca biomarkers suggests that different ionic properties determine AP and Ca biomarkers values, respectively, within each population. We use regression analysis to establish which ionic currents determine biomarker values in the failing versus non-failing population. In both the failing and non-failing populations, long APD80 values are correlated with low Gund \u22120.9 . RegressAs expected from the strong correlation between APD80 and AP triangulation shown in As illustrated in Even when In the failing population alternans occur in 64 cells at 350 ms and in 2235 cells at a BCL of 300 ms, due to prolonged APD associated with low G B,D, as In this study we have developed a population-based approach to investigate the potential of mRNA expression levels measured in failing human hearts to predict electrophysiological remodeling in AP and CaT, as measured experimentally. Our population-based approach takes into consideration natural variability that may arise from a variety of sources, as well as uncertainty associated with the extent to which mRNA expression affects functional channel conductance at the cell membrane, and uncertainty in electrophysiological measurements. This is in contrast to the traditional approach of considering unique values of ionic conductances in cardiac models of non-diseased and failing human cardiomyocytes mRNA data associated with GAP biomarkers (namely APD80 and APD3080) are correlated in both non-failing and failing cardiomyocytes, and are primarily determined by GCa biomarkers are correlated (but only weakly correlated with AP biomarkers) and are primarily determined by Jionic mechanisms underlying the occurrence of alternans are different in the failing population versus the non-failing population: alternans are primarily favoured by low GThe non-failing and failing populations of human ventricular cell models are constructed based on the latest human ventricular AP model The failing cell model population is built by including 0\u201360% downregulation of GChanges in AP biomarkers are not strongly correlated with changes in CaT biomarkers, suggesting that different ionic mechanisms cause these biomarker changes. This is explicitly demonstrated through linear regression. In particular different causes determine the duration of AP and CaT in failing cardiac myocytes, namely GOur simulations also show significant rate-dependence in the ionic conductances underlying changes in AP triangulation, CaTD80, CaT triangulation and AP-CaT delay in failing and non-failing cardiomyocytes. In particular, the significance of IOur population based approach reveals conditions in which alternans may appear at longer BCLs than in the original ORd model. The form of alternans observed in the non-failing population cannot occur in the failing population, as the combination of parameters driving alternans in the non-failing population is outside the parameter range for the failing population. Similarly, the 2\u22361 block observed in the failing population does not occur in the non-failing population as Get alet alIn this study we have only examined one component of the mRNA expression dataset presented by Ambrosi et alThe non-failing human hearts studied are not necessarily healthy, and so care must be taken in extrapolation from these results to healthy humans et alWe do not include co-regulation of membrane ion channels in our study, as this information is not available from Ambrosi The presence of spatial heterogeneities in AP properties in the left ventricle is consistently reported in humans Our study inherits many of the difficulties in extrapolating from mRNA expression data to functional membrane ion channels as discussed in the introduction and reviewed in Supplement S1Supplementary figures and tables referred to in the text.(PDF)Click here for additional data file."}
+{"text": "Rapid changes in behavior require rapid changes in brain states, yet the brain must also remain stable in the face of noise and uncertainty. The problem is exemplified by motor readiness in which execution of a planned motor behavior is voluntarily delayed until the onset of a 'go' stimulus. Achieving such rapid changes between otherwise stable brain states remains a fundamental problem in computational neuroscience. Single-state attractor networks provide stability but require global changes to the attractor landscape to alter network state and such transitions are invariably slow. Multi-state attractor networks promise rapid transitions between co-existing stable states by direct perturbation of the state variables however the nature of the perturbation is critical. Here we explore the efficacy of a global perturbation for invoking state transitions in a bistable model of motor cortex based on phase-coupled neural oscillators .Motor cortex was modeled as a two-dimensional sheet 128x128) of phase-coupled neural oscillators that were locally coupled using a center-surround connection topology. This model exhibits bistability when the strength of the inhibitory surround is within a specific range. In such cases the oscillators spontaneously self-organize into either spatially synchronous patterns or spatiotemporal traveling wave patterns depending upon initial conditions. These patterns are reminiscent of those observed in primate motor cortex during voluntary 8x128 of where thWe show that a global perturbation that is sinusoidally coupled to the phase of the mean-field can evoke a rapid transition from the synchronous state to the wave state. Our results demonstrate that an appropriately timed global perturbation can induce rapid transitions between distinct stable firing patterns and we posit that motor cortex may use a similar mechanism to transition rapidly from motor readiness to action."}
+{"text": "Integrin signaling regulates cell migration and plays a pivotal role in developmental processes and cancer metastasis. Integrin signaling has been studied extensively and much data is available on pathway components and interactions. Yet the data is fragmented and an integrated model is missing. We use a rule-based modeling approach to integrate available data and test biological hypotheses regarding the role of talin, Dok1 and PIPKI in integrin activation. The detailed biochemical characterization of integrin signaling provides us with measured values for most of the kinetics parameters. However, measurements are not fully accurate and the cellular concentrations of signaling proteins are largely unknown and expected to vary substantially across different cellular conditions. By sampling model behaviors over the physiologically realistic parameter range we find that the model exhibits only two different qualitative behaviors and these depend mainly on the relative protein concentrations, which offers a powerful point of control to the cell. Our study highlights the necessity to characterize model behavior not for a single parameter optimum, but to identify parameter sets that characterize different signaling modes. Cell migration is a carefully regulated process that is essential for embryonic development and life Talin binds to the integrin beta-tail and stabilizes the active, open integrin conformation Such questions are difficult to address by verbal reasoning alone. Mathematical modeling can help to integrate available isolated experimental information into a single model and permits the efficient analysis and comparison of model alternatives. Given the many states and complexes that need to be considered the dynamics of integrin activation can be best captured by a rule-based modeling approach Integrin activity is regulated by the interaction with the extra-cellular matrix and intra-cellular cytoskeletal adaptors . We use a rule-based modeling approach, in order to capture the complexity of integrin signaling. This approach allows us to model integrin signaling compactly by a set of 30 biochemical reactions rules, which are summarized graphically in The basic dynamics of our model are as follows. Binding of ligand and/or talin stabilizes the open/active conformation of integrin . In case of outside-in signaling integrin signaling is initiated by binding of ligand and internal signals . As discussed above both modes of signaling are observed only with group 1 parameters and we wWe have developed a rule-based model to explore the roles of talin, PIPKI, and Dok1 in integrin activation and signaling. In spite of much detailed biochemical data a significant level of uncertainty remains because measurements are not fully accurate and the concentrations of signaling proteins are largely unknown and expected to vary substantially across different cellular conditions. It is generally infeasible to sample the entire physiological parameter space. We therefore addressed this challenge in modeling signaling pathways by restricting the sampled parameter space according to the quality of the available measurements. The width of the ranges was based on general rules as to the accuracy of different experimental methods as well as prior knowledge on physiologically reasonable ranges. This restriction enabled us to systematically analyze model dynamics with only Within the wide range of model dynamics, we observed two different qualitative behaviours: one group of parameter sets supported integrin activation both by outside-in or inside-out signaling, and was characterized by high levels of talin-integrin complex formation, a strong dependence of PIPKI recruitment on talin, low levels of integrin phosphorylation and high levels of PIPKI activation. The other group of parameter sets did not support inside-out signaling, and was characterized by high levels of Dok1-integrin complex formation, no dependency of PIPKI recruitment on the presence of talin and higher levels of integrin phosphorylation.Importantly, the most decisive parameters were the relative cellular protein concentrations. Accordingly, the total concentrations of network components can serve as powerful control points to achieve distinct network dynamics. Thus for low talin concentrations we predict impaired inside-out signaling, yet much Dok1-integrin complexes form in response to outside-in signaling which will direct downstream signaling via recruitment of a range of proteins, including Ras-GAP, the adaptor protein Nck, the non-receptor tyrosine kinase Csk, and the phosphatase SHP2 Previous experimental observations led to the suggestion of an integrin phosphorylation switch. Biochemical measurements revealed that phosphorylation of integrins and PIPKI would lower the talin-integrin affinity and enhance PIPKI-talin binding The simulation further revealed that the opening of the integrin conformation not necessarily leads to integrin phosphorylation. Because binding shields the integrin phosphorylation motif, strong recruitment of either Dok1 or talin to integrin tails will counteract integrin phosphorylation. Therefore integrin phosphorylation is indirectly regulated by recruitment of talin and Dok1. We observe that conditions which enable high levels of Dok1 signaling also allow for a sensitive, sustained phosphorylation response while talin-dependent signaling allows only for transient levels of high phosphorylation. Since talin is the more stable signaling platform, its stable interaction with integrin tails does not allow for high levels of integrin phosphorylation but a sustained level of open integrins. Our modeling therefore suggest, that integrin activation and integrin phosphorylation serve as independent nodes in integrin signal propagation. Finally our simulation suggests that outside-in and inside-out signaling differ in the kinetics of the activation process. Thus while outside-in signaling is biphasic with a rapid talin-independent and a slow talin-dependent activation phase, there is only the late talin-dependent activation phase in inside-out signaling.It has long been recognized that model behaviours should be analysed not for a single measured parameter set alone, but over a wider parameter range. Ensemble modeling strategies combined with various clustering algorithms have been used to reveal parameter sets that yield similar qualitative results Overall, our study illustrates how detailed biochemical measurements together with a thorough computational analysis can be used to reveal qualitative behaviors of biological signaling networks. Without biological data the space of possible parameter combinations is too large to be explored. Yet without the computational model it is impossible to integrate biological knowledge to grasp the dynamic range of biological networks and to estimate the possible impact of parameter variations under different cellular conditions.We use a rule-based approach to explore the roles of talin, Dok1, and PIPKI in integrin signaling dynamics We collected parameter values for all biochemical reactions from the literature and parameterized the model according to We use the following eight criteria to characterize model behavior.DOK\u2236INT formation in response to stimulus:TAL\u2236INT formation in response to stimulus:PIPKI-dependent TAL recruitment:TAL-dependent PIPKI recruitment:PIPKI phosphorylation in response to stimulus:INT phosphorylation in response to stimulus:Integrin activation by outside-in signaling:Integrin activation by inside-out signaling:Here, Based on the first two criteria, we selected the 2000 parameter sets (2%) which achieved the highest levels of TAL\u2236INT (group 1) and DOK\u2236INT (group 2). In order to identify the relevant parameters which characterize both groups, we further compared the distribution of group 1 and group 2 parameters set with their corresponding uniform sampling distributions and among each other. We computed the empirical cumulative distribution function Click here for additional data file.Text S1A computational analysis of the dynamic roles of talin, Dok1, and PIPKI for integrin activation - Supplementary Text.(PDF)Click here for additional data file."}
+{"text": "Population structure and kinship are widespread confounding factors in genome-wide association studies (GWAS). It has been standard practice to include principal components of the genotypes in a regression model in order to account for population structure. More recently, the linear mixed model (LMM) has emerged as a powerful method for simultaneously accounting for population structure and kinship. The statistical theory underlying the differences in empirical performance between modeling principal components as fixed versus random effects has not been thoroughly examined. We undertake an analysis to formalize the relationship between these widely used methods and elucidate the statistical properties of each. Moreover, we introduce a new statistic, effective degrees of freedom, that serves as a metric of model complexity and a novel low rank linear mixed model (LRLMM) to learn the dimensionality of the correction for population structure and kinship, and we assess its performance through simulations. A comparison of the results of LRLMM and a standard LMM analysis applied to GWAS data from the Multi-Ethnic Study of Atherosclerosis (MESA) illustrates how our theoretical results translate into empirical properties of the mixed model. Finally, the analysis demonstrates the ability of the LRLMM to substantially boost the strength of an association for HDL cholesterol in Europeans. Population structure and kinship represent genetic relatedness between samples at different scales, and are widespread confounding factors in genome-wide association studies (GWAS) that can decrease power and increase the false positive rate of tests of association While simple tests of association assume statistical independence between individuals, population structure and kinship indicate covariance between individuals based on the genetic similarity between individuals and the heritability of the phenotype Motivated by the empirical differences between the LMM and including principal components as fixed effects, we describe a unified framework that connects these models. This framework facilitates a statistical examination of the methods' differing frequentist vs. Bayesian interpretations, their differing approaches to inference and how these differences drive their empirical properties. We next introduce a summary statistic, the effective degrees of freedom, that measures overall model complexity and the influence of each principal component on the fit of the LMM. Leveraging the unified framework and the effective degrees of freedom, we propose a novel method, the low rank linear mixed model (LRLMM) using the algorithm of Lippert, et al. a posteriori (MAP) estimation of all parameters, the model does not have an explicit prior on regression coefficients, Considering the matrix of genotype data Now consider the linear mixed model (LMM)For simplicity, let the genetic similarity matrix We note that while It is well established that the eigen-value of each principal component serves as a metric of biological relevance in relation to any underlying population structure Since modeling principal components as fixed or random effects share the underlying regression model, the differences in their ability to account for population structure and kinship In both fixed and random effects models, the parameter of interest for the hypothesis test is the coefficient Alternatively, the LMM includes all principal components in the model and integrates over the random effect with respect to its prior distribution. The likelihood can be stated in terms of the genetic similarity matrix,Population structure and kinship are both confounding factors in GWAS since they produce covariance between individuals' phenotype values. Yet the dimensionality of these two processes are different. Population structure is a low dimensional process embedded in a high dimensional space so that a relatively small number of principal components represent the underlying population genetics A generalized metric of model complexity facilitates evaluation of the theoretical and empirical properties of competing regression models. In the simple case of comparing two fixed effects models, the most natural metric is the number of parameters. Thus compared to a model with The metric of model complexity introduced here can be generalized to arbitrary regression models with normally distributed errors. We consider the general theory first and then apply it to specific models. Letting Considering a fixed effects model with This generalized theory has been widely adopted as a metric of model complexity for penalized splines, nonparametric regression and generalized additive models where While the relationship between the LMM and including principal components as fixed effects has been previously discussed Alternatively, the LMM is able to model both population structure and kinship by considering the full eigen-spectrum. Yet assessing the model complexity is no longer trivial since all principal components are included while only 4 parameters are estimated. Therefore, we consider the effective degrees of freedom of the LMM in order to elucidate the statistical properties of the LMM as well as its biological interpretation.Ignoring fixed effects for simplicity, the estimated the fitted response values based on only the random effect areThis form of the effective degrees of freedom facilitates an interpretation of the influence of each principal component that is composed of a marker-based element, Returning to the biological interpretation of the effective degrees of freedom, we note that LMM relates the genetic similarity between individuals to the heritability of the trait To this point we have considered the standard LMM where the genetic similarity matrix is full rank and all principal components make a contribution to the phenotype Learning the partition of principal components using an LRLMM requires a metric of model complexity that facilitates the comparison of models with different number of principal components. The effective degrees of freedom is a natural metric of complexity that extends to low rank models and has the formIn order to identify relevant principal components, we fit a LRLMM where the rank varies from 0, where we fit the standard linear model, to the sample size, where the full rank LMM is used. Principal components are added to the model sequentially and the log-likelihood and effective degrees of freedom are evaluated for each rank. Since the order in which principal components are added to the model affects the optimal rank, we consider different orderings of the principal components based on 1) eigen-value, 2) squared correlation between principal component and phenotype (corSq), 3) eigen-value multiplied by squared correlation between principal component and phenotype genard at http://mezeylab.cb.bscb.cornell.edu/Software.aspx.These methods are available in the software package We considered two distinct strategies for simulating genetic confounding and examined each separately. First, we simulated genetic confounding based directly on the principal components of a full rank genetic similarity matrix where we used 1000 European individuals from the Multi-Ethnic Study of Atherosclerosis (MESA) mal rank , S6, S7.We evaluated the statistical power of multiple methods under this model of genetic confounding for the same genetic data. We simulated genetic confounding by randomly selecting 10 principal components from the first 30 to affect the phenotype and drawing coefficients from We considered a second model of genetic confounding due to the effects of stratified markers. We evaluated the statistical power on the same genetic data where we simulated phenotypes by selecting the 5 markers most correlated with each of the first 10 principal components. Coefficients corresponding to these 50 stratified markers were drawn from In order to examine the type I error, we sampled phenotypes from 1000 individuals from Our analysis of GWAS data from four populations and two phenotypes from the Multi-Ethnic Study of Atherosclerosis (MESA) Applying the LRLMM sorting by degrees of freedom from fitting each principal component individually (LRLMM-DF) selects effective degrees of freedom that are substantially smaller than for the full rank model and the effective degrees of freedom is generally larger for height than for HDL cholesterol . MoreoveThe linear mixed model (LMM) has become a standard method to account for the confounding effects of population structure and kinship in GWAS datasets a priori, our novel LRLMM provides an alternative test of association that can boost the strength of an association or identify additional associations if it is a better fit to the data.The ability of our low rank linear mixed model (LRLMM) to boost the signal of a known association for HDL cholesterol in Europeans indicates that the LMM can overfit the data so that the random effect absorbs too much of the phenotype variance. If the true model is low rank, then the LRLMM will have greater power than the LMM. Alternatively, if the true model is high-dimensional then the full rank LMM is more appropriate. Since there is no way to know true dimensionality The LMM has been interpreted in the context of kinship With the growing interest in testing associations of rare variants, new problems of genetic confounding are arising due to the more recent origin and more localized distribution of rare compared to common variants Figure S1Simulated genetic similarity matrices and their eigen-spectra.a) The eigen-spectrum of 3 distinct populations is dominated by the the first 3 eigen-values. b) Kinship represented by 33 parent-offspring duos has a long tailed eigen-spectrum. c) The weighted sum of the genetic similarity matrices from (a) and (b) combine population structure and kinship so that the eigen-spectrum has a long tail, yet is dominated by the first 3 eigen-values. We note that the eigen-spectra are scaled by the largest eigen-value so that all spectra have the same scale. Moreover, we note that for simplicity the genetic similarity matrices were constructed directly and are not based on real or simulated genotype data.(TIFF)Click here for additional data file.Figure S2Estimated heritability based on 6 LMM methods for . Estimated heritability is shown for (TIFF)Click here for additional data file.Figure S3Estimated heritability based on 6 LMM methods for . Estimated heritability is shown for (TIFF)Click here for additional data file.Figure S4Estimated heritability based on 6 LMM methods for . Estimated heritability is shown for (TIFF)Click here for additional data file.Figure S5Estimated heritability based on 6 LMM methods for . Estimated heritability is shown for (TIFF)Click here for additional data file.Figure S6Mean squared error of estimated heritability across all simulation conditions for low rank linear mixed model (LRLMM). Plots shown here summarize the results of Figures S2, S3, S4, S5 in terms of mean squared error. Results are shown for the low rank linear mixed model (LRLMM) using only the relevant principal components (True) and the LRLMM using 4 orderings of the principal components: eigen-value, corSq, corSq*eigen-value and DF. Results are shown where the optimal rank for the LRLMM was determined by minimizing AIC, BIC, Generalized Cross Validation (GCV) or \u22122*log-likelihood (logLik). Results from the full rank LMM are shown in Figure S14 since the mean squared errors are much larger when the true model is low rank.(TIFF)Click here for additional data file.Figure S7Mean squared error of estimated heritability across all simulation conditions for full rank LMM. Results are shown for the same simulations as in (TIFF)Click here for additional data file.Figure S8Effective degrees of freedom for each principal component based on a linear mixed model (LMM) analysis of HDL cholesterol for four populations from the Multi-Ethnic Study of Atherosclerosis (MESA) dataset. Total effective degrees of freedom for each population are shown in the legend.(TIFF)Click here for additional data file.Figure S9Fraction of available degrees of freedom used by the linear mixed model (LMM) to account for population structure and kinship estimated using restricted maximum likelihood (REML). Effective degrees of freedom normalized by sample size are show for six phenotypes and four populations from the Multi-Ethnic Study of Atherosclerosis (MESA) plus the combined dataset. Error bars indicate 95% confidence intervals based on the log-likelihood surface.(TIFF)Click here for additional data file.Figure S10Manhattan plots for HDL cholesterol in Europeans from the Multi-Ethnic Study of Atherosclerosis (MESA). Results shown using Plink, EMMAX, GEMMA, FaST-LMM: full rank, FaST-LMM-SELECT and our low rank linear mixed model sorting by degrees of freedom from fitting each principal component individually (LRLMM-DF).(TIFF)Click here for additional data file.File S1Eective degrees of freedom.(PDF)Click here for additional data file."}
+{"text": "Listeria monocytogenes has the capacity to survive and grow in a diverse range of natural environments. The transition from a food environment to the gastrointestinal tract begins a process of adaptation that may culminate in invasive systemic disease. Here we describe recent advances in our understanding of how L. monocytogenes adapts to the gastrointestinal environment prior to initiating systemic infection. We will discuss mechanisms used by the pathogen to survive encounters with acidic environments (which include the glutamate decarboxylase and arginine deiminase systems), and those which enable the organism to cope with bile acids and competition with the resident microbiota. An increased understanding of how the pathogen survives in this environment is likely to inform the future design of novel prophylactic approaches that exploit specific pharmabiotics; including probiotics, prebiotics, or phages.The foodborne pathogen Listeria monocytogenes is a Gram positive foodborne pathogen capable of causing infection of the fetus in pregnant women and meningitis, meningoencephalitis or febrile gastroenteritis in non-pregnant individuals. The pathogen continues to cause large common-source outbreaks from ready-to-eat food sources and represents a significant cause of food-related mortality tract and makes the transition from saprophyte to pathogen.L. monocytogenes faecal carriage in farm animals has been reported as 21.3% in cattle and 1.5% in sheep over approximately 1 year stool samples analyzed, which suggests between 5 and 9 annual exposures to L. monocytogenes per person. In the majority of cases L. monocytogenes carriage was transient, lasting between 1 and 4 days during the passage from saprophytism to virulence were mono-colonized with either Lb. paracasei CNCM I-3689 or Lb. casei BL23 prior to oral infection with L. monocytogenes. Passage from broth to the GI tract resulted in the upregulation of 520 protein coding genes and seven non-coding sRNAs, whereas 523 genes and three sRNAs were downregulated. The presence of Lactobacillus spp. resulted in enhanced effects upon numerous gene systems suggesting a major influence of the microbiota upon gene expression in L. monocytogenes. Many of the listerial genes that were positively influenced by the microbiota are potentially involved in adaptation to the gut environment and include genes encoding pathways involved in ethanolamine and propanediol metabolism that have been implicated in the gastrointestinal survival of Listeria are at increased risk of infection and three glutamate decarboxylase enzymes system is particularly important for mediating pH homeostasis. The GAD system in ) Figure . Indeed L. monocytogenes as mutants in gadT2/D2 that operates separately from the canonical extracellular GAD (GADe) system pathway and an agmantine (AgDI) deiminase system that contribute to pH homeostasis which protect the cells from low pH . In L. monocytogenes LO28 the arginine catabolic genes of the ADI system (including arcA and arcC) and the arginine biosynthetic genes (including argG) are induced by low pH and anaerobicity and are under the influence of the transcriptional regulator ArgR and enzymes of the biosynthetic pathway are significantly induced in the GI tract of germ-free mice and are further induced by the presence of lactobacilli ] that senses bile (in particular the bile acid cholic acid) and regulates expression of two multidrug resistance (MDR) efflux pumps (MdrM and MdrT) that mediate bile tolerance and liver/gall bladder colonization enzyme that has the potential to detoxify individual conjugated bile acids and contributes to listerial survival in the GI tract is a potent inducer of the Sigma B regulon in L. monocytogenes is a non-fastidious and tractable target for demonstrating the barrier effect of probiotic commensals upon colonization or infection. In vitro cell culture studies indicate that cell invasion by L. monocytogenes can be inhibited by a variety of commensal bacteria can inhibit Sigma B activity, thereby downregulating the expression of key virulence related loci (Palmer et al., Listeria-specific bacteriophages or phage lysins can control bacterial growth in the GI tract (Coffey et al., L. monocytogenes in the GI tract should inform the future development of functional foods with the potential to reduce disease incidence.Increased understanding of the mechanisms by which The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "We next conducted a treatment study in the SCID-HuRAg mice, an RA animal model utilizing SCID mice implanted with synovium and cartilage from patients with RA and tofacitinib was administered via an osmotic mini-pump. Tofacitinib decreased serum levels of human IL-6 and IL-8 in the mice and reduced invasion of the synovial tissue into the implanted cartilage as well as accumulation of immune cells in the synovium.Taken together, orally available low molecular weight products such as tofacitinib targeting intracellular signaling molecules, would provide enormous power and flexibility in the treatment of RA.Rheumatoid arthritis (RA) is a representative autoimmune disease characterized by chronic and destructive inflammatory synovitis. The multiple cytokinesand cell surface molecules play a pivotal role in the pathogenesis of RA and binding of these molecules to their ligands on the cell surfaceinduce various signal intracellular transduction including phosphorylation of kinase proteins. The tyrosine kinase is the first intracellular signals to be phosphorylated and 14 tyrosine kinases are known to be involved in RA. Among them, members of Janus kinase (Jak) familyare essential for the signaling pathways of various cytokines and are implicated in the pathogenesis of RA. An orally available Jak3 inhibitor tofacitinib is currently in clinical trials for RA with satisfactory effects and acceptable safety . A phase"}
+{"text": "Dear Sir,A recent review article was very2+ release channel is a key component of the excitation\u2013contraction coupling machinery in striated muscle. Nitric oxide produced by the cytokine- and endotoxin-induced inducible nitric oxide synthase during inflammatory processes influences the contractility of skeletal muscles (In vivo, the initial release of NO activates ryanodine receptors, but a higher concentration of NO inhibits ryanodine receptors. NO alters ryanodine receptor binding activity by S-nitrosylation or oxidation of several classes of cysteine residues associated with ryanodine receptor protein (The authors of the review emphasiz muscles . In vivo protein . Influen protein .Future research needs to concentrate on case control studies, comparing the histology of diaphragms in infants dying from sudden infant death and death from other causes during the same season of the year to allow for the influence of seasonal viral infections. The degree of nitrosylation of cellular proteins should be compared between groups. Specific electrophysiological studies should be employed to assess the contribution of diaphragmatic flutter to apneas associated with viral respiratory tract infections in young infants."}
+{"text": "Most neurons in peripheral sensory pathways initially respond vigorously when a preferred stimulus is presented, but adapt as stimulation continues. It is unclear how this phenomenon affects stimulus coding in the later stages of sensory processing. Here, we show that a temporally sparse and reliable stimulus representation develops naturally in sequential stages of a sensory network with adapting neurons. As a modeling framework we employ a mean-field approach together with an adaptive population density treatment, accompanied by numerical simulations of spiking neural networks. We find that cellular adaptation plays a critical role in the dynamic reduction of the trial-by-trial variability of cortical spike responses by transiently suppressing self-generated fast fluctuations in the cortical balanced network. This provides an explanation for a widespread cortical phenomenon by a simple mechanism. We further show that in the insect olfactory system cellular adaptation is sufficient to explain the emergence of the temporally sparse and reliable stimulus representation in the mushroom body. Our results reveal a generic, biophysically plausible mechanism that can explain the emergence of a temporally sparse and reliable stimulus representation within a sequential processing architecture. Many lines of evidence suggest that few spikes carry the relevant stimulus information at later stages of sensory processing. Yet mechanisms for the emergence of a robust and temporally sparse sensory representation remain elusive. Here, we introduce an idea in which a temporal sparse and reliable stimulus representation develops naturally in spiking networks. It combines principles of signal propagation with the commonly observed mechanism of neuronal firing rate adaptation. Using a stringent numerical and mathematical approach, we show how a dense rate code at the periphery translates into a temporal sparse representation in the cortical network. At the same time, it dynamically suppresses trial-by-trial variability, matching experimental observations in sensory cortices. Computational modelling of the insects olfactory pathway suggests that the same principle underlies the prominent example of temporal sparse coding in the mushroom body. Our results reveal a computational principle that relates neuronal firing rate adaptation to temporal sparse coding and variability suppression in nervous systems. The phenomenon of spike-frequency adaptation (SFA) The widespread phenomenon of a dynamically suppressed trial-by-trial response variability in sensory and motor cortices In this study, we introduce an alternative and unified description in which a temporally sparse stimulus representation and the transient increase of response reliability emerge naturally. Our approach exploits the functional consequences of SFA in multi-stage network processing. Here, we show that the SFA mechanism introduces a dynamical non-linearity in the transfer function of neurons. Subsequently, the response onset becomes progressively sparser when transmitted across successive processing stages. We use a rigorous master equation description of neuronal ensembles To examine how successive adapting populations can achieve temporal sparseness, first we mathematically analyzed a sequence of neuronal ensembles , self-generating recurrent fluctuations strongly dominate the dynamics of interactions and produce highly irregular and variable activity To investigate the reliability of adaptive mapping from a dense stimulus to a sparse cortical spike response across successive processing stages we employed the adaptive population density formalisms s\u03c4\u200a=\u200a110 ms). This non-renewal statistics determines the shape of the transient component of the population response in The background input is modelled as a set of independent Poisson processes that drive both sub-networks .s\u03c4\u200a=\u200a110 ms) with the control network (s\u03c4\u200a=\u200a30 ms). Since the Fano factor is known to be strongly dependent on the firing rate, we adjusted the stimulus level to the latter such that the averaged steady state firing rates in both networks were mean-matched To reveal the effect of adaptation on the response variability, we employed the time-resolved Fano factor In the next stage of processing, the distribution of Material and Methods) to study the mean and variability of the cortical network responses to a wide range of signal strengths. We change the stimulation protocol to a brief signal with a duration of In the above comparison, we adjust the stimulus strength to achieve the same steady-state firing rate (tonic response) in the afferent and cortical ensemble. In a next step we studied the effect of adaptation on the detectability of a weak and transient peripheral signal, which might be impaired by the self-generated noise in the cortical network. To this end we employed the population density approach for the cortical ensemble response in the above scenario. This calculation indicates that the response variability in the adaptive network is significantly lower than in the weakly adaptive network over a large range of the feed-forward coupling strength did not change the time course of the Calcium response dynamics (B antagonist hydrochloride (CGP) using the same protocol and again found an increase in the response magnitude but no alteration of the response dynamics produces correlated presynaptic input spike trains Our results here are of general importance for sensory coding theories. A mechanism of self-inhibition at the cellular level can facilitate a temporally sparse ensemble code but does not require well adjusted interplay between excitatory and inhibitory circuitry at the network level. This network effect is robust due to the distributed nature of the underlying mechanism, which acts independently in each single neuron. The regularizing effect of self-inhibition increases the signal-to-noise ratio not only of single neuron responses but also of the neuronal population activity focus attractor were caught at the entrance of the hive, immobilized by chilling on ice, and fixed in a plexiglas chamber before the head capsule was opened for dye injection. We retrogradely stained clawed Kenyon cells (KC) of the median calyx, using the calcium sensor FURA-2 dextran with a dye loaded glass electrode, which was pricked into KC axons projecting to the ventral median part of the Experiments were performed following the methods published in Szyszka et al The processing of imaging data was performed with custom written routines in IDL . In summary, changes in the calcium concentration were measured as absolute changes of fluorescence: a ratio was calculated from the light intensities measured at 340 nm and 380 nm illumination and the background fluorescence before odor onset was subtracted leading to \u22125M picrotoxin or 5\u00d710\u22124M CGP54626 ) was bath applied to the brain after pre-treatment measurements. Measurements started 10 min after drug application. The calcium signals are analyzed in Matlab . The normalization of the responses are performed per animal and the plotted traces are the averaged values across subjects.For GABA blockage, a solution of 150 \u00b5l GABA receptor antagonist dissolved in ringer for final concentration (10"}
+{"text": "Ex vivo with BCG and IFN\u03b3 for intratumoral injection and attempts to circumvent this barrier thereby maximize the induction of anti-tumor responses. Autologous DC will be harvested from peripheral blood monocytes via leukapheresis. Following Ex vivo DC maturation, inoculation of the tumors will be performed 2 weeks later utilizing image guidance to ensure activated DC deposition at the peripheral aspect of the tumor thereby enhancing DC exposure to antigens from dead or dying tumor cells. Vaccination will be performed at least every week for 3 weeks, and subsequently at longer intervals dependent on harvested DC availability. Phase I/II study with DCVax\u00ae- Direct will enable evaluation of the safety, MTD, and responses in patients with solid tumors. The secondary objective addresses the feasibility, anti-tumor immune responses, PFS and OS. At the time of this poster submission, the 'First-in-man' patient has been consented for the study. We propose to present our initial findings at the SITC 2013 conference as more data will be available.Dendritic cells (DC) are acknowledged to be quintessential in the armamentarium to mount anti-tumor immune responses and have been utilized in varying capacities for cancer immunotherapy. Recent advancements & lessons leant from prior DC therapies have revealed that major barriers hinder the efficacy of cancer vaccination with DC, principal of which is the hostile environment of the local tumor milieu that inhibits activation and subsequent maturation of DC. This critical step is required to process and present antigens (tumor cell) to the downstream cascade of immune mediators. The therapeutic goals of cancer vaccination are the induction of tumor regression secondary to the production of tumor specific immune factors and local inflammatory cytokines with enhancement of long term anti-tumor surveillance to prevent recurrences. DCVax\u00ae- Direct are autologous dendritic cells activated"}
+{"text": "In bulk heterojunction photovoltaic systems both the open-circuit voltage as well as the short-circuit current, and hence the power conversion efficiency, are dependent on the optical bandgap of the electron-donor material. While first-principles methods are computationally intensive, simpler model Hamiltonian approaches typically suffer from one or more flaws: inability to optimize the geometries for their own input; absence of general, transferable parameters; and poor performance for non-planar systems. We introduce a set of new and revised parameters for the adapted Su-Schrieffer-Heeger (aSSH) Hamiltonian, which is capable of optimizing geometries, along with rules for applying them to any One principal goal of condensed matter theory is to understand the structure-property relationship of materials systems such that specific materials properties may be achieved via molecular design. The emergence of fascinating applications using The optical bandgap of organic molecules can be qualitatively derived from its dependence on the bond length alternation pattern, planarity, aromaticity, and/or electron-withdrawing/releasing substitutions. ab-initio calculations for the molecular geometries, Simpler quantum mechanical approaches that are computationally less expensive and can give good bandgap values for specific systems can be divided into two groups. The first group, including for example the H\u00fcckel, The second group of models includes electron-phonon interactions and can predict the fundamental excitations of conjugated systems, while simultaneously optimizing the molecular geometries. This group includes the Su-Schrieffer-Heeger model In our previous works Nevertheless, until now we had only demonstrated the transferability of the aSSH model for different chain lengths of the very polymers used to determine the parameters. For example, the parameters for sulfur were fit using the optical gap from p-n single junction solar cells. To exemplify our intended utility of the model as an in-silico design tool, we focus on the problem of finding an appropriate donor material for bulk heterojunction (BHJ) photovoltaic devices. In these BHJ devices, the electron donor absorbs photons to create electron-hole pairs while the acceptor material draws the electrons but not the holes from the donor. The number of photons absorbed that generate charge carriers directly contributes to the short circuit current (The aSSH Hamiltonian p-phenylene vinylene) (PPV), p-phenylene) (PPP), The fully transferable etc.; b) fused aromatic rings parallel to the conjugated path direction (red circles); c) fused aromatic rings perpendicular to the conjugated path direction (blue diamonds); d) copolymers from polymerization of any of the previous groups (yellow triangles pointing downwards); e) polycyclic aromatic hydrocarbons (PAHs) including polyacenes where the conjugated paths are greater than one dimension (violet triangles pointing upwards); and f) systems with explicit interchain Since all of the experimental data are taken from UV-vis absorption spectra reported in literatures, we will focus solely on the optical bandgaps as opposed to either the electronic or transport bandgaps. The agreement between the calculated and experimental gaps are shown in One straightforward way to modify the bandgap of PTh is to replace the Starting from PTh, one popular way in which researchers have been attempting to lower the bandgaps is to fuse adjacent rings by adding extra conjugated sulfur bridges. For a given PTh of can be sTh of , the prototypical conducting polymer, is proportional to its bond-length dimerization amplitude. It is clear from Since PTh has a LUMO orbital , C band Opposite to the LUMO case, the HOMO wavefunction of PTh , V band e L band also inc sharply .In summary, since the largest o PT32bT , the intThe predicted optical gaps for this group are shown in The important contribution of the perpendicular fused rings series to the aSSH model is in determining a new bridge bond In systems such as PITN with aromatic rings fused perpendicular to the conjugated pathway, the monomers themselves have lower bandgaps simply due to energy level splitting. In order to decrease the bandgaps for polymers consisting of perpendicular fused rings we must to enhance the electron hopping between the connected monomers. This enhancement can be achieved by introducing parallel fused ring monomers between each perpendicular fused ring monomer to form copolymers, examples of which are discussed in the copolymers section.Copolymers of donor-acceptor units have been leading the way in improving organic PV efficiency from 5% to 9%. stacking . [25] WiPAHs are essentially flakes of graphene, the Fermi energy of which varies linearly with wavevector through the Dirac point without undergoing the Peierls dimerization In order to reduce the optical gap of polyacenes, one can create nodes on the cene of , the two in BBTD . This giThe accurate prediction of the optical bandgap of a generic materials system will remain as a grand challenge in condensed matter theory. Working towards that goal, we demonstrate a model Hamiltonian for virtually all the major types of From our calculations, the strategies of planarization or simple substitutions did not lead to the target optical gaps 1.2 eV. To reach the desired gaps, we suggest a copolymer of parallel and perpendicular monomers (both benzodithiophenes), which we find in general to be the best strategy by taking advantage of both the lower monomer gaps of perpendicular units and the enhanced electronic communication of the parallel ones. We also propose a small molecule oligomer (a thiophene capped anthracene) that arises from our analysis of PAHs, in particular of pentacene, with the aSSH model giving insights into the electronic structure of the molecules and how to modify them for lower gaps. With these examples, we put forth the aSSH model as an in-silico design tool to guide the search for optimized organic electronics.Figure S1Skeletal formulae of simple ring systems. Simple ring systems consist of monomers that are single aromatic rings that may contain single atoms or non-conjugated rings attached.(PDF)Click here for additional data file.Figure S2Skeletal formulae of parallel fused ring systems. Parallel fused ring systems consist of monomers wherein two or more aromatic rings are fused and all rings are part of the main conjugated pathway.(PDF)Click here for additional data file.Figure S3Skeletal formulae of perpendicular fused ring systems. Perpendicular fused ring systems consist of monomers wherein two or more aromatic rings are fused, but only one of the rings is connected to the main conjugated pathway.(PDF)Click here for additional data file.Figure S4Skeletal formulae of polycyclic aromatic hydrocarbons and derivatives. Polycyclic aromatic hydrocarbons are made entirely of fused aromatic carbon rings, while derivatives include simple heteroatom substitutions for hydrogen.(PDF)Click here for additional data file.Figure S5Skeletal formulae of copolymers. Copolymers refer to any system made of more than one type of monomer.(PDF)Click here for additional data file.Figure S6Skeletal formulae of - stacking systems. The (PDF)Click here for additional data file.Table S1Experimental and aSSH calculated optical gaps for simple ring polymers.(PDF)Click here for additional data file.Table S2Experimental and aSSH calculated optical gaps for parallel fused ring systems.(PDF)Click here for additional data file.Table S3Experimental and aSSH calculated optical gaps for perpendicular fused ring systems.(PDF)Click here for additional data file.Table S4Experimental and aSSH calculated optical gaps for polycyclic aromatic hydrocarbons and derivatives.(PDF)Click here for additional data file.Table S5Experimental and aSSH calculated optical gaps for copolymers.(PDF)Click here for additional data file.Table S6Experimental and aSSH calculated optical gaps for - stacking systems.(PDF)Click here for additional data file.References S1References for data contained in Although some references for the Supporting Information may be the same as for the main article, their reference numbers may not be the same.(PDF)Click here for additional data file."}
+{"text": "Pitch constitutes a major dimension of auditory perception along which periodic (or near-periodic) sounds can be organized. Although the role of pitch is essential in the perception of music and important when dealing with source segregation in complex auditory scene, the neural mechanisms underlying pitch perception remain unclear . Many moWe propose here a model of pitch perception based on the synchrony produced within groups of peripheral neurons. We first describe how auditory stimuli can induce for peripheral neurons synchronous outputs. This stimulus-based synchrony is independent of the spiking neuron model and can thus be used to define two dual concepts : 1) the"}
+{"text": "The goal of this pilot study was to examine changes in self-reported levels of mindfulness in the context of an 8-week mindfulness telehealth intervention for military veterans with combat-related posttraumatic stress disorder (PTSD).Participants were 24 male combat veterans with PTSD aged 23 to 66 (M=55.2). Participants were randomized to either a mindfulness telehealth intervention or a PTSD psychoeducation telehealth condition. Both interventions consisted of two in-person and six telephone individual sessions. Measures were collected pre- and post-treatment and at 6-week follow-up and included the Mindful Attention Awareness Scale (MAAS), the White Bear Suppression Inventory (WBSI), and the Five Facets of Mindfulness Questionnaire (FFMQ).Significant condition by time interaction effects were found in the expected direction for the WBSI (p=.04) and FFMQ Describing facet (p=.02) and trends were detected for the MAAS (p = .07) and the FFMQ Observing facet (p = .07), indicating gains in skills for the mindfulness group over the course of the study. Results also suggest that a brief telehealth intervention introducing mindfulness skills may be effective in increasing levels of mindfulness as measured by these instruments.This study represents one of the few published studies to use multiple measures of mindfulness to examine changes in mindfulness skills and the first known published study to examine changes in mindfulness following a brief telehealth intervention. Limitations include a small sample size and lack of intent-to-treat analyses. A short treatment that does not require group participation and that can be easily accessed may be especially appealing to more reluctant participants, such as those with PTSD or other psychological disorders. Identifying the aspects of mindfulness that are sensitive to change represents a first step in determining whether adoption of mindfulness skills may be an important mechanism of action."}
+{"text": "General anesthetics are used during medical and surgical procedures to reversibly induce a state of total unconsciousness in patients. Here, we investigate, from a dynamic network perspective, how the cortical and cardiovascular systems behave during anesthesia by applying nonparametric spectral techniques to cortical electroencephalography, electrocardiogram and respiratory signals recorded from anesthetized rats under two drugs, ketamine-xylazine (KX) and pentobarbital (PB). We find that the patterns of low-frequency cortico-cardio-respiratory network interactions may undergo significant changes in network activity strengths and in number of network links at different depths of anesthesia dependent upon anesthetics used. Medical and surgical procedures most often involve the use of general anesthetics for reversibly producing total unconsciousness in patients. During such procedures, a multitude of physiological parameters including heart rate, respiration rate, movement and brain activity are observed to assess the level of anesthesia for the patient's safety. How anesthetics work and what quantitative measures are effective in assessing different levels of anesthesia have been the questions of intense research for years. The answers to these questions can potentially help design better depth-of-anesthesia monitoring systems and reduce the frequently-occurring intraoperative awareness Central modulation of the cardiovascular system via descending signals from the brain has been well recognized for a long time In this paper, using Granger causality measures Granger causality * denotes matrix adjoint, The nonparametric approach is based on widely used Fourier transform for both pairwise and conditional measures This study is a reanalysis of the data using the nonparametric spectral techniques. The details about the experiments that took place in the Institute of Pathophysiology in Ljubljana can be found in the article by Musizza and colleagues Simultaneous recordings of scalp EEG, ECG and respiration rate were performed on two groups of adult male Wistar rats weighing 250\u2013300 The original time series data sampled at 1000 Hz were lowpass filtered below 45 Hz and resampled at 200 Hz. The Fourier transforms and spectral quantities were computed using moving time window of 1 minute with 0.5 minute overlap to look at the temporal variations. The time series within 1 min window were further broken into 4-sec segments with a 2-sec overlap. The 4-sec segments within 1 min window were used to compute the average spectral matrix. The spectral quantities such as power, coherence and Granger causality were thus derived from the average spectral matrices over time in intervals of 0.5 minute. We performed a permutation based statistical technique Here, we first evaluate the performance of the nonparametric Granger causality Stages of anesthetic awareness could be assessed more reliably by bi-or multi-variate measures such as coherence and Granger causality among cortico-, cardio- and respiratory activities than the univariate measure such as power of brain, cardiac or respiratory oscillations. Please see The respiratory modulation of cardiac activity rate variability is well known as respiratory sinus arrhythmia (RSA) Electronic Supplementary Material S1In this Electronic Supplementary Material S1, we include the power, coherence and Granger causality results for all rats in the KX group in Fig. and for rats in the PB group in Fig. .(PDF)Click here for additional data file."}
+{"text": "This protein-protein interaction may represent a mechanism for facilitating the activation of PPAR transcriptional activity via the direct channeling of ligands between the binding pocket of L-FABP and the PPAR\u03b1LBD. The role of L-FABP in the delivery of ligands directly to PPAR\u03b1 via this channeling mechanism has important implications for regulatory pathways that mediate xenobiotic responses and host protection in tissues such as the small intestine and the liver where L-FABP is highly expressed.Fatty acid binding proteins (FABPs) act as intracellular shuttles for fatty acids as well as lipophilic xenobiotics to the nucleus, where these ligands are released to a group of nuclear receptors called the peroxisome proliferator activated receptors (PPARs). PPAR mediated gene activation is ultimately involved in maintenance of cellular homeostasis through the transcriptional regulation of metabolic enzymes and transporters that target the activating ligand. Here we show that liver- (L-) FABP displays a high binding affinity for PPAR subtype selective drugs. NMR chemical shift perturbation mapping and proteolytic protection experiments show that the binding of the PPAR subtype selective drugs produces conformational changes that stabilize the portal region of L-FABP. NMR chemical shift perturbation studies also revealed that L-FABP can form a complex with the PPAR ligand binding domain (LBD) of PPAR In vivo, due to their poor aqueous solubility, FAs are bound and transported by a class of intracellular lipid binding proteins (iLBPs) termed fatty acid binding proteins (FABPs) . Fo exposed . It is tt formed . The occ binding . InteresOur findings suggest that the overlapping binding specificity between L-FABP and PPAR LBDs represents an important component in a channeling mechanism that mediates cellular transport and selective accumulation of PPAR selective drugs in the intestine and liver where both proteins are highly expressed. L-FABP may act as a gate-keeper that is responsible for communicating the state of cellular metabolism and disposition of these ligands from the cytosol to the nucleus."}
+{"text": "Face-to-face meetings play a central role in the birth and maturation of communities. Intensive workshops filled with presentations, discussions and working group meetings have always been at the heart of the activities of the Genomic Standards Consortium (GSC). Such work-driven meetings are a key way in which the GSC fulfils its mission. Similarly, meeting reports provide a key mechanism for preserving and disseminating the consensus built at such meetings as they describe the range of speakers and participants present, topics covered and key outcomes and priorities agreed upon by the community.This issue contains a total of nine meeting reports, all from workshops held between April and December 2010. The first four describe GSC sponsored events. The first overviews the GSC 9 workshop at the J. Craig Venter Institute (JCVI) in April 2010 and the This issue also contains the first five meeting reports in SIGS contributed by external communities. The first describes a workshop held by the wider genomic annotation community as a step towards organizing a \u201cCritical Assessment of Functional Annotation Experiment\u201d (CAFAE) competition . The nexWe sincerely hope this special issue of meeting reports will pave the way for meeting report contributions from a wider range of related communities dedicated to creating and maintaining consensus-driven science."}
+{"text": "Cortical Up- and Down states are a salient feature of mammalian slow wave sleep and contribute predominantely to the low frequency (1Hz and below) delta power of the scalp electroencephalogram (EEG).The role of slow wave oscillations recently raised considerable attention from the observation that slow waves can be electrically stimulated , and thaA recent experimental demonstration of Up- and Down state switching under electrical stimulation was presented by Shu, Hasenstaub and McCormick . Their etime difference between the two impulses was studied quantitatively.In a previous study, we have proposed a minimal model mimicking the interplay between recurrent excitation and inhibition controlled by slow adaptive currents . By thisTo study stimulation at this level of description, we follow the established conductance-based cortex model by Compte et al. which inWe observe self-generated Up-Down states in the absence of stimulation in accordance with the detailed study of . If we a"}
+{"text": "Obesity is one of the risk factors for non-communicable disease (NCD). The prevalence of overweight and obesity among the poor in Indonesia is increasing. Indonesia is also experiencing an epidemiological transition where the trend for causes of death is changing from infectious disease to NCD. Following previous studies on obesity among the poor, we study the risk factors for obesity in urban slum areas in order to seek for the appropriate health system solution to this matter.We used a case-control design with 70 cases of obese women and 70 controls of non-obese women (WHO-IASO-IOTF obesity criterion for Asian population was used to determine the obesity status). In-depth interviews were conducted to 18 women respondent from three different slum areas in Yogyakarta city. We performed data triangulation for qualitative data. This study was conducted in April - October 2011.The major risk factors for obesity among poor women living in urban slum areas were partly due to low level of physical activity (OR 8.0) and excessive carbohydrate intake (OR 1.5). The respondents stated that they couldn\u2019t buy the healthy food because its price is higher than carbohydrate-based food. This study documented the lack of information about affordable and healthy food being discussed by community health worker and health educator. From the study findings, the expected response from the health system was the government needs to improve awareness and promotion of healthy living especially within vulnerable population.Poor nutrition is not the only source of hunger among the poor, but also obesity. This finding highlights the importance of collaboration between public health centers and community groups in the slum area in order to create awareness of the obesity problem. Public policies that focus on urban poor population need to be improved."}
+{"text": "Alignment of sequence homologues corresponding to a structural domain is available, starting from a structure-based sequence alignment of the superfamily. Orientation of the length-variant (indel) regions in protein domains can be visualized by mapping them on the structure and on the alignment. Knowledge about location of length variations within protein domains and their visual representation will be useful in predicting changes within structurally or functionally relevant sites, which may ultimately regulate protein function. Non-technical summary: Evolutionary changes bring about natural changes to proteins that may be found in many organisms. Such changes could be reflected as amino acid substitutions or insertions\u2013deletions (indels) in protein sequences. LenVarDB is a database that provides an early overview of observed length variations that were set among 731 protein families and after examining >2 million sequences. Indels are followed up to observe if they are close to the active site such that they can affect the activity of proteins. Inclusion of such information can aid the design of bioengineering experiments.Protein domains are functionally and structurally independent modules, which add to the functional variety of proteins. This array of functional diversity has been enabled by evolutionary changes, such as amino acid substitutions or insertions or deletions, occurring in these protein domains. Length variations (indels) can introduce changes at structural, functional and interaction levels. LenVarDB (freely available at Protein domains are functional and compact structural units of protein, which evolve with time by incorporating various changes in the form of amino acid substitutions and insertions. Insertion/deletion of contiguous stretch of amino acids (indels) can induce structural modifications, which can eventually impart functional diversity or affect stability or differences in quaternary arrangements of these protein domains. Analysis of indels among sequence homologues of domain superfamilies will provide an early understanding of the evolutionary changes of protein function from a handful of protein folds .Occurrence of indels is a continuous process and found frequently in loop regions, especially as \u2018nested forms\u2019 into previously inserted regions or obserSupplementary Table S1). Unlike other indel databases entry, c IndelFR , IndelPD IndelFR , IndelSc IndelFR , which dSupplementary Methods). Non-redundant homologues for each superfamily member were included in an alignment, which were importantly guided by structure-based sequence alignments obtained from PASS2, as it was more accurate than using any sequence-based alignment (Supplementary Methods). Statistical tests were carried out using R package from PASS2 version 4 were uselignment and to rlignment , were ma package .http://www.jmol.org/) and Jalview .The superfamily page summarizes the length variation features computed for each superfamily and its members at the time of database creation. Length variation is calculated at two levels, one with only the structural members of superfamily [average length variation (structure)] and the other with all the sequence homologues collected [average length variation (sequence)]. The length-variant group to which the particular superfamily belongs to is noted, and information about any shuffling event (within length-variant groups) is mentioned. A separate panel enlists each member and its length, which is also hyperlinked to \u2018Member page\u2019. Dynamically created graphs are provided for easy visualization of the data provided. Length variation status of each homologue and its contribution in maintaining or changing the length variation status of the superfamily is featured in an interactive scatter plot. The relation between length variation and sequence identity (%) of every homologue collected for every superfamily member is represented by a heat map. Fluctuations in length, captured in the form of amplification/shrinkage from the domain length, are shown for all members in the form of a stacked bar graph. An estimate of hypothetical proteins and splice variants (found in the homologue sets) is also provided . To viewSupplementary Methods), are mapped on the multiple sequence alignment and 3D structure. SSBs are also marked in a similar manner and sequence identity (%) of every homologue with respect to the superfamily member can be accessed.Supplementary Movie S1 (http://caps.ncbs.res.in/download/lenvardb/)]. Frequently asked questions enlisted will enable users in analysing their query proteins from a length variation perspective.A user-friendly help page has been created to guide the access and features of the database. A video tour of the database has also been embedded in the home page for the same purpose [Supplementary Data) and integrated as \u2018Statistics\u2019 page in the database.Length variation parameter has been used for statistical analyses . The range of length variation [shown as box plots to represent the range of length variation (%)] in eukaryotic homologues is slightly higher than bacterial and archaeal homologues .Presence of insert domain has been analysed and found to occupy only 2% of the PASS2 starting dataset (8970 superfamily members), which gives the user an insight about one of the causes of length variations in LenVarDB of Campylobacter jejuni dUTPase reveals the presence of a 20 residue-insert near the substrate binding domain and dimerization interface, which can regulate its functionality or oligomerization status (Supplementary Data). Further biochemical characterization can show if the presence of these indels (in the homologue) interferes with the pathogenic nature of this dUTPase in C. jejuni, which is known to be a gastric pathogen.Detection of multiple length variations (indels) in their spatial orientation within a protein domain structure can be useful in focusing on the deviations caused from its usual structure and function. Study of length variations in a homologue is illustrated . LiteratLenVarDB is a comprehensive resource designed for researchers interested in protein domain biology. This database systematically and automatically gathers sequences, aligns them to pre-existing structure-guided PASS2 alignments and derives indel (length-variant)-prone regions of protein domain superfamilies. The web interface has been made interactive and readily available for the scientific community. The key advantage of LenVarDB over other indel databases is that it introduces evolutionary insights from all the closely and distantly related sequence homologues. LenVarDB allows users to identify the indel-prone regions, which can enable rational design of bioengineering experiments.Supplementary Data are available at NAR Online, including [27\u201332]."}
+{"text": "The GABAergic system is central to the development and functional maturation of the nervous system. Emerging evidence support the role of GABAergic dysfunction in neuro-developmental disorders. This review presents the molecules and mechanisms that underlie GABA system dysfunction in several neuro-developmental disorders presenting in childhood. The impact on synaptic plasticity, neuronal circuit function and behavior, followed by targeted treatment strategies are discussed. Neuronal circuits undergo structural refinement in response to changes in experience. Although this ability is present throughout life, there are sensitive periods of elevated plasticity when the brain is capable of intense restructuring of synaptic connections positive basket cells which account for 50% of GABAergic interneurons in rodent cortex and are required for the generation of fast rhythmic, synchronous activity of Ts65Dn brain at E14.5 . G-protein coupled inward-rectifying potassium (GIRK2) containing channels are over-expressed in Ts65Dn mice is the most common non-inherited cause of intellectual disability and results from triplication of chromosome 21. The cognitive phenotypes of DS are reproduced in Ts65Dn mice, a model of Down syndrome and are posited to result from imbalance in excitation and inhibition. Several genes involved in the GABAergic systems are present on chromosome 21 and are triplicated in DS and the Ts65Dn mice. These include Olig1/2 and Grik2. Several groups show a decrease in the number of excitatory synapses and a relative increase in the inhibitory synaptic markers in the cortex and hippocampus of adult Ts65Dn mice in the CA1 and DG. Several groups have rescued LTP upon acute or chronic treatment of Ts65Dn hippocampus with GABA antagonist is the leading genetic cause of intellectual disability in girls. It is caused by mutations in the transcriptional repressor methyl-CpG-binding protein 2 (MeCP2). The MECP2 protein regulates gene expression by DNA methylation and MeCP2-mutant mice recapitulate many of the phenotypes RS. These mice, like girls with RS appear phenotypically normal early during development and then undergo severe regression with resulting impairment in respiratory function, loss of hand use, impairment in language, and motor function. Several studies suggest that an imbalance in excitatory and inhibitory neurotransmission contributes to the behavioral abnormalities in RS mouse a model of FXS is the most common single gene cause of intellectual disability and autism interneurons and impairment in group 1 mGluR activation of low-threshold-spiking (LTS) interneurons have been reported in FX mice , a GABAA receptor agonist, that acts upon tonic GABA receptors significantly attenuated hyperactivity and prepulse inhibition in Autism Spectrum Disorder is postulated to result in part from deficient GABA neurotransmission. Reduced GABAA receptors and benzodiazapine binding sites are reported in the hippocampus and cingulate gyrus from neuropathological samples from individuals with autism , a structural barrier to plasticity thus enabling recovery from amblyopia (Pizzorusso et al., The author declares that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Considering cells as biofactories, we aimed to optimize its internal processes by using the same engineering principles that large industries are implementing nowadays: lean manufacturing. We have applied reverse engineering computational methods to transcriptomic, metabolomic and phenomic data obtained from a collection of tomato recombinant inbreed lines to formulate a kinetic and constraint-based model that efficiently describes the cellular metabolism from expression of a minimal core of genes. Based on predicted metabolic profiles, a close association with agronomic and organoleptic properties of the ripe fruit was revealed with high statistical confidence. Inspired in a synthetic biology approach, the model was used for exploring the landscape of all possible local transcriptional changes with the aim of engineering tomato fruits with fine-tuned biotechnological properties. The method was validated by the ability of the proposed genomes, engineered for modified desired agronomic traits, to recapitulate experimental correlations between associated metabolites. Considering cells as biofactories, we aimed to optimize their internal processes by using existing design principles acquired from engineering. Herein, we present a synthetic biology approach based on experimental and computational methodology that integrates genomic, transcriptomic, metabolomic and phenomic data to formulate a kinetic and constraint based model of tomato agronomic and fruit quality characteristics. The model has been used for exploring the landscape of all possible local transcriptional changes with the aim of engineering tomato fruits with improved biotechnological properties. The methodology was validated by the ability of the proposed engineered genomes with modified desired agronomic traits, to recapitulate correlations between associated metabolites that are found experimentally in a number of examples. Considering a cell as a DNA-based molecular factory http://solgenomics.net) and with extensive work on metadata analysis Solanum lycopersicum\u00d7S. pimpinellifolium. Following the LM approach, we have developed here a novel in silico optimization method that extensively explores single and multiple genetic perturbations to render a series of desired tomato phenotypes; i.e., show agronomical properties of biotechnological interest. Recently, large efforts in genome-scale modeling have been reported Previous works have considered modeling the global metabolism in silico modified fruit genomes to reproduce the correlations between metabolites empirically found in the fruit. We propose that the principles and practices learned from these engineering success cases can help to formulate a model to guide the design of new organisms with biotechnological applications.Finally, in order to close the design cycle imposed by LM, the genetic modifications suggested by our computational approach were experimentally verified. This was done by demonstrating the predicted ability of the InferGeneWe have extended our recently developed inference methodology, Transcriptomic and metabolomic data from these 50 RILs were normalized by the LOWESS method The next step was to construct an effective gene regulatory model able to predict autonomously the transcriptional processes that, by means of the model previously described, would generate a quantitative metabolic response. In this way changes at the transcriptional level resulting from the proposed genetic perturbations could be translated and predicted effectively into metabolic changes. For doing that, we used the microarray data obtained from fruits of 50 of the RILs to infer a network of gene-gene interactions. The CLR method provided the first sets with single-gene alterations. LE24K20) or over-expression in all lineages, respectively. By contrast, quality was highly increased achieving improvement ratios of 43.34% by gene knockout and 227.31% by over-expression of LE15D07. Finally, taking into account not only the quality but also fruit production, ratios decreased to 15.32% and 35.94% using the two types of perturbations, respectively. Notice that all these rates of improvement were achieved in the lineages that provided maximum fitness in the wild-type TRN.After this, we ranked the list of knockout/over-expressed genes of the TRN according to two criteria directed to maximize: (i) the mean efficiency across all lineages in the case of goals such as acceptability and quality vs production; and (ii) the average of the maximum agronomic property reached by all possible TRN reconfigurations in the case of fruit quality . SpecifiLineages exhibited variability in their resistance to be optimized and this resistance changed with each target agronomic property. We computed the average number of single-gene perturbations to overcome an efficiency threshold given in the 169 RILs and the average probability of selecting the same gene-perturbation commonly for the whole set of RILs. The right panel in The next step in our study was to propose new genome re-designs including multiple perturbations. To do this, we sampled widely the landscape of the acceptability, quality and quality vs production of tomato fruits by introducing two-gene perturbations either by knockouts and over-expressions . Figure After generating our predictive model for the TRN and metabolism of tomato fruit, we use it to automatically design tomato genomes with extreme alterations for each of the 56 volatile compounds by introducing a set of genetic perturbations. We compared sets of genetic perturbations for all pairs of volatile compounds and then inferred their levels of correlations (see Methods). Hence, these predicted correlations were compared to the levels of correlations obtained from the experimental values for each volatile pair that often reflects their belonging or not to the same metabolic/regulatory pathway or to be or not structurally related. and 0.91 for geneand 0.91 . Notice ompounds indicatiS. pennelli accession and therefore represent a completely different set of gene alleles from those in RILs used to construct the model. These ILs can be used as independent and useful test case to evaluate the validity of the model. We corroborated that a significant set of genetic perturbations suggested by computational design to optimize the phenotype observed were identified as genes differentially altered in the target phenotype derived from another interspecific cross whose transcriptome and metabolome were also experimentally measured. Parents of these ILs are a different cultivar of tomato M82 and a henotype .LM is a methodology that is being implemented by large industries to optimize their production. In the process of decision making applied to the redesign of production systems, firstly, engineers evaluate systematically the addition or elimination of resources in each of the participating single processes; afterwards, multiple changes are considered trying to achieve maximum quality and production We have proposed several re-engineered genomes that improve desired agronomic properties of the fruit by targeting single or multiple genetic modifications. It has been previously reported that single under-/over-expressed of certain genes may affect fruit quality traits, being these key genes involved in the biosynthesis of a product of fruit metabolism or to a general ripening regulators in controlling fruit size probably through the auxin pathway and the effect of auxin in altering fruit growth and ripening has been previously reported TILLINGTAL engineering Although it is not the objective of this paper, it does not escape our attention that some of the perturbations proposed are consistent with the biological processes associated to the trait and therefore the model could be used to reveal the molecular underpinnings of quality traits . Moreover, all 169 RILs (including the previous 50 ones) for which we had metabolite and phenotype data were used to train a linear model able to predict agronomic properties of the fruit from potentially predictor metabolites. In all cases transcriptomic and metabolomic data were first normalized using the LOWESS procedure For the construction of the effective TRN model and its later integration with the metabolism, we used steady-state mRNA expression profiles derived from RILs transcriptionally and metabolically characterized. The dataset contains pre-processed expression data from 50\u00d73\u200a=\u200a150 hybridization experiments using an array with 11876 probe sets spotted, and data for levels of 67 metabolites that were quantified over the same sample set. For this study, we only considered the 5592 genes whose expression values could be consistently found in more than 80% of the microarrays. We found 1057 TFs and 1962 genes with enzymatic activity after searching for the motifs transcription regulator and enzyme activity respectively in the functionally annotated tomato genome with respect to the properties of interest obtained in a given RIL. Different properties of interest have been optimized, ranging from single metabolites defining the sweetness or sourness of the fruit, to linear combinations of a set of metabolites determining the quality in terms of flavor and taste and even further to include objective functions that try to integrate two of those goals with a trade-off and balanced weighting factors such as fruit quality and yield.We have addressed this optimization problem using two approaches. Firstly, we exhaustively enumerated all possible single gene knockouts and over-expression for each case to be optimized under a given selective pressure of interest. Second, we ranked all possible perturbations according to the new agronomic properties they would generate. The third step was to suggest genome reconfigurations that include multiple actions: gene knockouts, over-expressed genes, or both, in order to enlarge the combinatorial space of perturbed genomes. To do that, we have used an exhaustive method aimed at finding the global optimum in the space of all possible synthetic TRN. We started from the inferred model and applied an optimization scheme. At each step of the optimization process, we selected each gene among the ones involved in the transcriptomic model to evaluate the effect of three possible approaches ; we updated the model with the genetic perturbation that provided the best score. Note that to simulate knockout or over-expression in the gene We computed the sets of single-gene perturbations, ?, by gene knockout or over-expression that alter significantly the levels of the 56 volatile metabolites representing the volatile compounds taking into account the global model. For the sake of the model we considered only those gene perturbations that would cause significant changes in the metabolite concentration higher than 1% Click here for additional data file.Dataset S2Single knockout and over-expressed genes to improve desired agronomic properties and functional categorization of genes that induced high degree of improvement in those agronomic properties; notice that functional enrichment of all genes involved in the TRN was included. Gene ontology enrichment analyses were performed using the TFGD tool [TFGD]. It is also showed the functional categories significantly represented among those genes that were selected to describe the TRN of tomato fruit. A total of 19 cellular processes and 45 biological components were represented. Among these, genes related to cellular metabolic processes were the most abundant (p<0.0001), what makes sense since they were selected to predict cellular metabolism; whereas genes related to response to nutrient stimulus were present but the least common (p<0.1).(XLS)Click here for additional data file.Dataset S3Multiple combinations of knockout and over-expressed gene sets to improve desired agronomic properties .(XLS)Click here for additional data file.Dataset S4Experimental evidences of each gene perturbation proposed by the model to optimize the different scoring function used.(XLS)Click here for additional data file.Figure S1vs computer science.Synthetic biology of tomato fruit (PDF)Click here for additional data file.Figure S2From data to global models to redesign using an approach based on synthetic biology.(PDF)Click here for additional data file.Figure S3LASSO). Note that we used two different z-score levels ; and z\u200a=\u200a3 ) to included genes as possible predictors to be selected by LASSO. The dashed line plotted in shows the parameter, tLASSO, and the level of z-score used to constructed the relationship between phenotype and metabolome.Phenotype prediction by using the genotype described in the 50 RILs in which transcript levels were measured. Pearson coefficient correlation between the predicted and measured phenotypic profile and number of genes selected by LASSO method as predictors for different thresholds of the fitting parameter (t(PDF)Click here for additional data file.Figure S4Exhaustive exploration and statistical significance of the landscape of single desired agronomic properties of tomato fruit perturbing its effective TRN locally. (A) Agronomic properties improved by perturbing a single gene as function of efficiency reached by that transcriptional perturbation with respect to the wild-type scenario; notice that only perturbations with positive mean efficiencies are plotted. Both agronomic properties and efficiencies of a single perturbation are average variables tested on the 169 RILs and error bars represent their minimum and maximum values in both axis. (B) Dependence between agronomic properties in the wild-type genome and the average of the agronomic properties resulting of all single perturbations in the wild-type TRN for each RIL; vertical error bars represent the best and worst optimized re-engineered TRN for a given RIL. (C\u2013D) Average number of single gene perturbations that overcome an efficiency threshold in the 169 RILS and average probability of selecting the same gene-perturbation commonly in a set of RILs . Left and right columns represent perturbations in terms of single gene knockout or overexpression, respectively.(PDF)Click here for additional data file.Figure S5(A) Dendogram of the volatile compound correlations observed experimentally. Dendograms inferred by the model defining the distance between volatile compound as the number of common genetic perturbations predicted to optimize the levels of each volatile compound.(PDF)Click here for additional data file.Figure S6U-test significance using random selection of gene perturbations (red bars) is shown . Error bars represent the standard deviations of scores obtained from three ILs. 16.7% of the over-expressed genes proposed by the model to minimize the level of linalool were significantly recovered in gene expression proposed by the model to minimize the levels of volatile compounds or, 1-nitro-2-phenylethane, 2-isobutylthiazole and benzylnitrile (B)) that were found significantly over-/under-expressed in the transcriptome of two ILs characterized experimentally with extremely low levels of those volatile compounds. The cut-off of the coefficient of variation between replicates was 75%. The Mann-Withney's pression . In addipression , respect(PDF)Click here for additional data file.Figure S7Correlations observed between agronomic variables and metabolites of different fruit genotypes generated by simulating all possible single gene knockout (A\u2013E) or over-expression (F\u2013J) in the wild-type genome model of the tomato fruit. Standard deviations of all metabolites or agronomic variables show the diversity generated by implementing each genetic perturbation in the 169 RILs. Note that we only plotted re-engineered genomes whose transcriptome predicted showed errors lower than 1% .(PDF)Click here for additional data file.Table S1The top 5 single-gene knockouts and over-expressions that maximize the agronomic properties of the tomato fruit based on improve only one objective.(PDF)Click here for additional data file.Table S2The top 5 single-gene knockouts and over-expressions that minimize the agronomic properties of the tomato fruit based on improve only one objective.(PDF)Click here for additional data file.Text S1Genome design based on single perturbations to fine-tuning phenotypes with biotechnological interests. Model validation: fine-tuning tomato phenotype of two experimental inbred lines by computational genome design. Prediction of phenotypic correlations in re-engineered tomato fruits.(PDF)Click here for additional data file."}
+{"text": "The Surviving Sepsis Campaign advocates giving early empirical antibiotics directed against all likely pathogens . The faiA prospective cohort study was performed in two UK teaching hospitals of patients presenting with sepsis to critical care between May 2010 and March 2011. Hospital computer systems and patient notes were used to extract the initial suspected source of sepsis, and later verified with true microbiology data. Overall mortality was measured and compared between correctly and incorrectly suspected source of sepsis patients.Of the 128 patients, the source of sepsis was wrongly identified in 30% (38/128) (Figure Good antimicrobial governance requires early administration of narrow-spectrum antibiotics as best guess source-directed therapy from the outset, because de-escalation is often not practical. Our data reveal that in 30% of cases we incorrectly guess the source.We advise that in patients with severe sepsis or septic shock first-line antibiotics should remain broad spectrum with rigorous follow up to de-escalate as early as possible."}
+{"text": "Outcome measures were weekly alcohol consumption and frequency of binge drinking. Latent growth curve analyses to model individual change in alcohol use over time by condition revealed that participants in the experimental condition had significantly lower weekly alcohol consumption and frequency of binge drinking compared to participants in the control condition that sustained after three and six months follow-up, respectively. Additional linear regression analyses indicated that the intercept differences resulted from an increase in alcohol use for participants in the control condition compared to those in the experimental condition. The WDYD intervention was shown to be effective in preventing an increase in weekly alcohol consumption and frequency of binge drinking shortly after the intervention that sustained after three and six months post-intervention, respectively. Trial registration: Netherlands Trial Register NTR2665.The aim of the current study was to test whether the web-based brief alcohol intervention entitled \u201cWhat Do You Drink\u201d (WDYD) can sustain a reduction in alcohol use among heavy drinking students after one, three, and six months follow-up. A two-arm parallel group randomized controlled trial applying an ecological momentary assessment (EMA) approach with 30 data time-points was conducted in the Netherlands, 2010-2011. Students aged 18 to 24 years old who reported heavy drinking in the past six months and who were ready to change behaviour were included in the study. Participants were randomized into the experimental ("}
+{"text": "United Nations General Assembly Resolution 61/105 on sustainable fisheries (UNGA 2007) establishes three difficult questions for participants in high-seas bottom fisheries to answer: 1) Where are vulnerable marine systems (VMEs) likely to occur?; 2) What is the likelihood of fisheries interaction with these VMEs?; and 3) What might qualify as adequate conservation and management measures to prevent significant adverse impacts? This paper develops an approach to answering these questions for bottom trawling activities in the Convention Area of the South Pacific Regional Fisheries Management Organisation (SPRFMO) within a quantitative risk assessment and cost : benefit analysis framework. The predicted distribution of deep-sea corals from habitat suitability models is used to answer the first question. Distribution of historical bottom trawl effort is used to answer the second, with estimates of seabed areas swept by bottom trawlers being used to develop discounting factors for reduced biodiversity in previously fished areas. These are used in a quantitative ecological risk assessment approach to guide spatial protection planning to address the third question. The coral VME likelihood of existing spatial closures implemented by New Zealand within the SPRFMO area is evaluated. Historical catch is used as a measure of cost to industry in a cost : benefit analysis of alternative spatial closure scenarios. Results indicate that current closures within the New Zealand SPRFMO area bottom trawl footprint are suboptimal for protection of VMEs. Examples of alternative trawl closure scenarios are provided to illustrate how the approach could be used to optimise protection of VMEs under chosen management objectives, balancing protection of VMEs against economic loss to commercial fishers from closure of historically fished areas. United Nations General Assembly Resolution 61/105 on sustainable fisheries The FAO International Guidelines for the Management of Deep Sea Fisheries in the High Seas What are vulnerable marine ecosystems and where are these likely to occur?What constitutes a significant adverse impact and how can the likelihood of interaction and risk of fisheries impact on VMEs be assessed?What might qualify as adequate conservation and management measures to prevent significant adverse impacts?This paper describes an approach for addressing these questions for bottom trawling activities in the SPRFMO Convention Area. The first two questions are addressed using a quantitative risk assessment framework An overview of the seabed topographic characteristics of the northern Tasman Sea study area west of New Zealand is shown in Catch and effort data for New Zealand high-seas bottom trawling in the SPRFMO Area were obtained from the New Zealand Ministry of Fisheries commercial catch and effort database. 1990 is the first full year represented in this database and 2006 is the end of the 2002\u20132006 reference period chosen by SPRFMO participants as the basis for mapping historically fished areas. 2002\u20132006 was also the time period covered by the data analyses used to develop the New Zealand management measures for their SPRFMO Area bottom fisheries This database includes data for foreign-flagged vessels that operated under charter to New Zealand companies. Whereas foreign flag charter vessel data were excluded from the SPRFMO Area impact assessment developed by New Zealand Hoplostethus atlanticus) targeted fishery and data were error-checked using standardised procedures routinely used for orange roughy-targeted trawl catch and effort analyses for this fishery Bottom trawl data for the period 1990\u20132006 were retrieved from the high seas versions of the Trawl Catch Effort and Landings Return (TCELR) forms, which provide tow-by-tow information with start and end date, time and location, fishing method, depth and estimated catch by species (kg) for each tow. This is primarily an orange-roughy erroneous tows were excluded from analyses.All valid trawl tows for the period 1990\u20132006 were imported into ArcGIS\u00a9, incorporating a randomised jitter up to 0.5 minutes either side (latitude and longitude) of the reported positions to compensate for rounding to the nearest minute of reported start and end positions Tow lengths were determined in ArcGIS\u00a9 using an Albers equal area conic projection and tow lines were then split by the boundaries of the 20-minute blocks constituting the New Zealand 2002\u20132006 SPRFMO Area bottom trawl footprint. Although the Albers projection does not conserve length, there is negligible distortion of length across the width of a 20-minute blocks (\u223c32 km), and these lengths were only used to determine proportional catches per segment within each block. The lengths of split tow segments within each block were determined and the proportional orange roughy and top ten species catches for each tow segment were calculated from the ratio of the tow segment length over the full tow length. The resulting tow segment data were summed by footprint block to determine the total number of tows (segments), the summed (cumulative) tow length and the total reported orange roughy and top ten species catches within each footprint block over the period 1990\u20132006.Two alternative measures of seabed swept are used in this paper, for two different purposes. Cumulative swept area is the simple sum of estimated areas swept over time, with individual areas of all tows simply being added together, without accounting for any overlap in tows. Cumulative swept area provides a measure of the repetitive impact in an area over time. This is essentially a measure of fishing intensity and is an appropriate measure of the increasing likelihood of interaction with vulnerable marine ecosystems in repetitively trawled areas. However, this measure ignores the fact than many tows may overlap and does not measure the area of the seabed that was actually swept. Actual swept area was therefore estimated by first merging overlapping trawls and then estimating the swept area of the resulting merged tows. This provides a measure of the seabed area that has actually been swept, correcting for any overlap in tows. This is an appropriate measure of the area of the seabed that has actually been impacted by fishing operations, for use in discounting the biodiversity or habitat suitability of an area.New Zealand vessels fishing in the SPRFMO Area average 48 m in length Even after jittering of tow start and end positions, many tow lines overlap, particularly in heavily fished areas. Actual swept area within each trawl footprint block was estimated using ArcGIS\u00a9 to generate polygon buffers 50 m either side of each of the tow lines (assuming 100 m door spread width). These buffered tow lines were dissolved into merged swept-area polygons which were then split by the boundaries of the trawl footprint blocks. Actual swept areas over the period 1990\u20132006 were calculated as the sum of the areas of the dissolved, split, buffered tow polygons within each block.2 in area, decreasing from 1,240 km2 in the Fiji Basin to 901 km2 at the southern end of the Louisville Ridge . Any particular trawl swept area will therefore impact a greater proportion of the area of a footprint block towards the south of the fished regions than towards the north. To enable comparison between blocks, cumulative and actual swept areas within each block were expressed as proportions of the total area of the blocks within which they occurred.The planar surface area of 20-minute bottom trawl footprint blocks decreases polewards as a result of convergence of longitudinal meridians. The New Zealand bottom trawl footprint blocks average 1,088 km2) bathymetric data set To enable comparison of seabed swept areas with areas of available fishable depth, the proportion of fishable depth within each footprint block was determined from the proportion of data points in the GEBCO 30 arc-second (\u223c1 km2) resolution maximum entropy (Maxent) model that predicts habitat suitability for six species of deep-sea, habitat-forming scleractinian corals , using global databases for 15 bathymetric, hydrographic, chemical and biological predictor variables. This global model incorporated all the available scleractinian reef-forming coral occurrence records for thespecies occurring in the New Zealand region from Tracey et al. G. dumosa\u200a=\u200a204; S. variabilis\u200a=\u200a191; M. oculata\u200a=\u200a118; E. rostrata\u200a=\u200a98; O. varicosa\u200a=\u200a20; L. pertusa does not occur in the New Zealand region). The predicted, combined habitat suitability for these species in the New Zealand region is shown in The global deep-sea scleractinian coral habitat suitability model developed by Davies & Guinotte 2) for each of the 20-minute blocks in the New Zealand SPRFMO Area bottom trawl footprint. Each data point included position (latitude/longitude), depth (from the underlying 30-arc-sec bathymetric data), and the overall predicted habitat suitability (0\u2013100%) for all scleractinian species combined. The scleractinian habitat suitability values for data points within each block were averaged over all depths to provide indices of overall coral habitat suitability per block, and over fishable depths (0\u20131600 m) to provide indices of fishable-depth coral habitat suitability per block.This scleractinian habitat model was used to generate 1600 data points developed by Hobday The ERAEF productivity\u2013susceptibility analysis approach was further adapted in this study to directly address the two main questions arising out of y UNGA resolution 61/105: where are VMEs likely to occur? and what is the risk of fisheries interaction with these VMEs? These questions were expressed as the axes of a two-dimensional analysis, similar in concept to the PSA plots used in level-2 ERAEF assessments. Likelihood of VME Occurrence was plotted against Likelihood of Fishery Interaction to quantify the risk of significant impacts on VMEs in each footprint block. Risk indices for each of the 20-minute trawl footprint blocks along these two axes were quantified as described below.The ERAEF PSA approach uses quantified or ranked answers to a range of questions to provide integrated measures of productivity based on a number of measures or indicators The Scleractinia-combined habitat suitability values from Davies & Guinotte et al. et al. et al. Solenosmilia variabilis by Neil et al. Predicted fishable-depth VME likelihood values were then discounted for the effects of historical fishing in each block. The impacts of trawling, particularly the removal of fragile, habitat-forming species and resulting reduction in biodiversity, have been well documented et al. et al. Residual biodiversity discounting factors should ideally be determined from properly designed control-impact seabed biodiversity surveys in fished and unfished areas. However, no such surveys have been conducted for any of the SPRFMO bottom-trawled areas. Noting observations by Koslow The y-axis on ERAEF productivity-susceptibility plots measures the susceptibility of fisheries or areas to a particular impact. In the context of the questions posed by the UNGA requirements, the comparable y-axis in the risk assessments presented here measures the likelihood of fisheries interaction with VMEs in each of the footprint blocks. Of the two measures of seabed impact calculated, cumulative swept area (being a measure of fishing intensity) provides the most appropriate indicator of the likelihood of fishery interaction with VMEs. Areas that are repeatedly trawled each year are of more interest to the fishery and will have a higher likelihood of ongoing fisheries interaction with any residual VMEs. Cumulative swept area values for each footprint block were therefore used for the Fishery-Interaction axis in risk assessment plots.The predicted, discounted likelihood of occurrence of VMEs provides a measure of the potential benefit of closing each trawl footprint block, in terms of meeting UNGA requirements to protect areas likely to contain VMEs. Provided some meaningful measure of cost to industry of the closure of alternative footprint blocks can be calculated, the cost : benefit trade-off of alternative spatial closure scenarios can be evaluated and optimised against any specified cost and benefit objectives.For analysis of previously fished areas, quantitative measures of historical catch and effort can provide indices of fishing industry interest in an area. Strictly, these are retrospective measures of the cost that would have been incurred if those blocks had been closed historically. However, if the intention is to maintain stocks at sustainable levels in each area, rather than to pursue a policy of sequential depletion and movement to new fishing areas, then historical catch and effort provide appropriate measures of the ongoing suitability of the area for the fish species concerned, and of potential future value of the area to the fishing industry.New Zealand\u2019s high-seas spatial closures currently involve the closure of entire 20-minute footprint blocks, irrespective of depth Beryx splendens, B. decadactylus) and/or oreos have contributed substantial catches in some areas or years. The top ten species catch was therefore considered to be a better measure of cost than orange roughy alone. While the relevance of historical catch as a measure of cost to industry may be questioned, it is worth noting that, during a marine protected area (MPA) planning process for the Antarctic Ross Sea region Either effort or catch could be used as measures of industry interest in particular areas, and therefore of the cost of closing those areas. However, loss of catch provides a more direct measure of cost of closures to industry than effort. The cost to industry of closing particular footprint blocks was therefore calculated as the total historical catch of the top ten species within eet al. et al. et al. et al. Existing spatial closures in the New Zealand SPRFMO bottom trawl footprint close 40% of the blocks across the entire footprint Having determined the number of blocks (40%) to be closed in each fishing area, cost : benefit trade-off curves for alternative spatial closure scenarios were generated. The starting closure scenario for each fishing area was generated by sorting the footprint blocks in descending order of discounted, all-depths, average habitat suitability and closing the 40% of blocks with highest average habitat suitability. This starting scenario provides the highest overall, average, discounted habitat suitability that can be achieved by any 40% closure of blocks within each fishing area. Scenarios of decreasing overall average habitat suitability were then generated by opening the closed block with the highest historical catch (cost) and closing the block with the next highest average habitat suitability. This process was repeated, re-calculating the average habitat suitability and total cost of the revised closures at each step, until all blocks in each fishing area had been accounted for.This process generates cost : benefit trade-off curves starting from the closure scenario of highest average habitat suitability (benefit), and ending with the closure scenario of least historical catch lost (cost), with each sequential scenario along these curves having decreasing cost to industry, as well as decreasing average coral habitat suitability. To provide visually reciprocal declining conservation benefit and increasing retained catch curves, the cost to industry was plotted as percentage retained catch. The benefit and cost of the existing closures in each fishing area were calculated in the same way and plotted as points on these optimisation curves to provide a direct comparison of the value and cost of existing closures with the explored range of alternative scenarios.vs. cost to industry resulting from lost access to fishing areas. Such a process is described by Sharp and Watters Cost : benefit trade-off curves for each fishing area can be used to select an \u2018optimal\u2019 spatial closures at some point along the trade-off, given specified management objectives in terms of benefit and cost. Selection of a preferred position along the trade-off curves would usually be based on an iterative consultation between fisheries managers, industry representatives and other stakeholders, using pre-agreed objectives for each axis, comparing conservation benefit of spatial closures To achieve protection of at least 75% of the achievable range in average habitat suitability (maximum to minimum) across the alternative scenarios in each fishing area (75% of the benefit axis range).To retain at least 75% of the historical top ten species catch in each fishing area (75% of the retained catch axis).An optimisation approach such as this involves an explicit balancing of competing objectives related to maximising conservation and catch, using objective and quantitative measures for each axis. In generating examples of \u2018optimised\u2019 closure scenarios against these management objectives, the conservation objective was initially given precedence. If the fisheries cost reduction objective could not be achieved while retaining 75% of potential habitat suitability, then retained catch was allowed to decrease below 75% of historical catches to retain at least 75% of potential habitat suitability. However, if both objectives could be achieved across a range of alternative closure scenarios, then within this range of \u2018acceptable\u2019 alternatives, the objective of reducing cost to industry was given precedence, so that retained catch was maximised after ensuring protection of at least 75% of potential habitat suitability.Epigonus telescopus), oreos , spiky oreo , alfonsino, ribaldo (Mora moro), rattails (Macrouridae), seal shark and boarfish , together contributed 12% of the total reported catch in the western region is four times that on the Louisville Ridge and actual swept area in the western region is five times that on the Louisville Ridge . The ratAcross the entire western region, 7% of the all-depths footprint area, which amounts to 8% of the fishable depth footprint area, has actually been swept. Despite the fact that most of the trawl footprint on the Challenger Plateau lies within fishable depth and that this area has the longest fishing history, only 14% of the 20-minute block footprint in this area has actually been swept . In compThe minimum, maximum and average percentages of the fishable depth area swept per 20-minute block in the Lord Howe Rise (north and south combined), Challenger Plateau, West Norfolk Ridge and Three Kings Ridge (combined) and Louisville Ridge fishing areas are summarised in The proportion of fishable depth area actually swept per block in the lightly fished Lord Howe Rise, West Norfolk Ridge and Three Kings Ridge areas averages 2% \u20133%, with less than 18% of the fishable area of the most heavily fished block having been swept . In the Goniocorella dumosa and Solenosmilia variabilis is similar to that of the move-on areas (66.1%) and slightly higher than that in the closed areas (63.8%) . After dIndividual, discounted, VME-Likelihood/Fishery-Interaction risk assessment plots for the six main fishing areas are shown in Along the Louisville Ridge, as a result of the small areas of fishable depth on seamounts and the high proportions of these areas that have been swept, discounting has a substantial effect on residual VME likelihood. On the more lightly fished Northern Louisville Ridge, the effect of discounting is moderate and the discounted VME likelihood of closed blocks remains less than that of the open or move-on blocks. However, the effect of discounting is substantial on the heavily fished Central Louisville Ridge where the residual VME likelihood of open blocks is reduced to less than 40%, with closed blocks then having a higher VME likelihood than the open or move-on blocks .et al. Cost : benefit trade-off curves for six of the fishing areas are shown in Comparing the cost : benefit of existing closures , but this is achieved at the cost of reducing retained historical catch from 81% to 74%. The resulting proposed closures differ substantially from the current closures , with a et al. This approach does not address the question of implementation of a move-on rule. Reliance on move-on rules as a primary mitigation measure to avoid significant adverse impacts on VMEs has been increasingly criticised in recent years The optimisation approach taken in this paper is similar to that implemented in the conservation planning software package Marxan Lophelia pertusa whereas deep-sea coral reefs around New Zealand are dominated by Solenosmilia variabilis. Without true absence data these models tend to over-predict and are not prevented from predicting the occurrence of species that do not actually occur in a region. It should be noted, though, that in doing so these models are predicting a suitable environmental niche for the species included in the model, rather than the presence of the species itself. The niche may well be suited to an alternative species in other regions.In the absence of seabed survey data on benthic community composition and seabed geology, predictive habitat models provide the only source of information with which to objectively evaluate the likelihood of occurrence of VMEs in high-seas areas. However, there is scope for improving these models to reduce shortcomings they have in reliably predicting VME. For example, the global scleractinian habitat model of Davies &Guinotte Current global coral habitat suitability models predict high values for scleractinian habitat suitability across the entire depth range of the orange-roughy targeted bottom trawl fishery , providiThe most useful improvement that could be made to the reliability of predictive habitat models would be to conduct seabed biodiversity surveys to ground-truth the predictive models. Initial predictive habitat model results can be used to focus survey effort on selected areas where additional biodiversity and presence-absence data would have most power in improving model reliability. New Zealand is intending to conduct such survey work at selected sites in the SPRFMO Area in 2014. The results of ground-truthed, regionally tailored predictive VME habitat prediction models will provide an essential component for spatial planning and management initiatives in the South Pacific region."}
+{"text": "It could be hypothesized that when walking in a linear direction, the most efficient strategy would be to focus the force created by the push-off in the absolute opposite direction to the direction of propulsion. Forces in a medial or lateral direction could then be considered as loss of efficiency since these forces do not create movement in the intended direction. The aim of this study was to investigate if individual differences in push-off location of the forefoot resulted in difference in force direction. Three subjects with different push-off locations were identified through video gait analysis. The subjects were categorized as having either a lateral subject 1), central (subject 2) or medial (subject 3) push of location. The subjects walked over a force plate (Kistler) where medial and lateral forces were registered. The results showed distinct differences in force direction between the subjects during the propulsive period of gait (70%-100%) (see figure , centralDifference in force direction may lead to differences in propulsive efficiency. It could also be hypothesized that proximal segments need to compensate in order to keep a subject with medial or lateral force deviations walking in a linear direction of propulsion."}
+{"text": "The location specific motor pattern generation properties of the spinal cord along its rostro-caudal axis have been demonstrated. However, it is still unclear that these differences are due to the different spinal interneuronal networks underlying locomotions or there are also segmental differences in motoneurons innervating different limbs. Frogs use their fore- and hindlimbs differently during jumping and swimming. Therefore we hypothesized that limb innervating motoneurons, located in the cervical and lumbar spinal cord, are different in their morphology and dendritic signal transfer properties. The test of this hypothesis what we report here.Discriminant analysis classified segmental origin of the intracellularly labeled and three-dimensionally reconstructed motoneurons 100% correctly based on twelve morphological variables. Somata of lumbar motoneurons were rounder; the dendrites had bigger total length, more branches with higher branching orders and different spatial distributions of branch points. The ventro-medial extent of cervical dendrites was bigger than in lumbar motoneurons. Computational models of the motoneurons showed that dendritic signal transfer properties were also different in the two groups of motoneurons. Whether log attenuations were higher or lower in cervical than in lumbar motoneurons depended on the proximity of dendritic input to the soma. To investigate dendritic voltage and current transfer properties imposed by dendritic architecture rather than by neuronal size we used standardized distributions of transfer variables. We introduced a novel combination of cluster analysis and homogeneity indexes to quantify segmental segregation tendencies of motoneurons based on their dendritic transfer properties. A segregation tendency of cervical and lumbar motoneurons was detected by the rates of steady-state and transient voltage-amplitude transfers from dendrites to soma at all levels of synaptic background activities, modeled by varying the specific dendritic membrane resistance. On the other hand no segregation was observed by the steady-state current transfer except under high background activity.We found size-dependent and size-independent differences in morphology and electrical structure of the limb moving motoneurons based on their spinal segmental location in frogs. Location specificity of locomotor networks is therefore partly due to segmental differences in motoneurons driving fore-, and hindlimbs. Correlative analysis of the same type of neuron in different parts of the CNS has shown location specific morphological and electrotonic differences in pyramidal neurons of the hippocampus in the rat /16\u2009=\u20090.46 being the total number of neurons is 16. Another index used to measure last order cluster formations was the Peterson\u2019s index \u2009=\u20090.62. Both indexes may have values between 0 and 1. The indexes are closer to 1 if cervical and lumbar MNs are more similar and they are getting smaller with increasing differences between MNs of the two spinal segments. The significance of segmental cluster formation tendencies was tested by comparing these homogeneity indexes with those of artificially generated cluster formations, where segmental origins of MNs were assigned randomly prior to the cluster analysis. For each actual dendrogram 100 other artificial dendrograms were generated reflecting grouping tendencies of the real set of MNs with their segmental origins artificially randomized. The mean value of indexes was calculated for the 100 artificial dendrograms and the mean was then compared with the actually found index by one sample t-test. If this test showed a significant difference between the real and artificial indexes, then we concluded that MNs tended to form homogeneous groups determined by their segmental location in the spinal cord.To check if MNs have a tendency to form last order clusters where cervical and lumbar MNs are segregated, homogeneity (or similarity) indexes were used to measure segmental homogeneity within clusters. Measuring segmental homogeneities is feasible since increasing segmental differences among MNs are reflected in their increasing segregation tendency to different clusters shown by the cluster analysis, and as a consequence of segregation, the clusters become more and more homogeneous in terms of segmental origins of MNs they contain. This way, increasing segmental segregation of MNs between clusters may be measured by segmental homogeneities (homogeneity indexes) within clusters. Two different homogeneity indexes were used. In addition to the Peterson\u2019s index we defins index and was The purpose of this study was to investigate differences between alpha motoneurons (MNs) located in the cervical and lumbar enlargements of the frog that innervate the muscles of forelimbs and hindlimbs. These MNs had ellipsoid or fusiform perikarya in the lateral area of the ventral horn. The dendritic arborization of these MNs could be divided into a dorsomedial, dorsal and lateral dendritic arrays with many dendrites extending to the lateral funiculus of the white matter. The lateral dendrites extended to the border of spinal cord where they formed a subpial meshwork Figure , charactThe mean surface area of somata for cervical MNs was about 35% bigger than that of the lumbar MNs but the difference did not reach the significant level because of the high variances in both spinal segments Table was applThe total number of branch points was more numerous in lumbar MNs than in MNs of the cervical part of the spinal cord . The distributions of branch points over different path distance domains were also different . This indicates that difference in branch point frequencies was due to longer total length of dendrites with the same average tendency of branching in the lumbar MNs close to somata as also found by Dityatev et al. .Early analyses of dendritic orientation of limb moving MNs in frog spinal cord described three dendritic arrays that extended in the dorso-medial, dorsal and lateral directions ,43. BaseHere we compared orientation of MN dendrites in the lumbar and cervical levels of the cord. Polar histograms were created Figure to show ms\u2009=\u2009Rmd) and inhomogeneous (Rms\u2009<\u2009Rmd) soma-dendritic membranes (see Methods) at different neuron resistances. Since it is difficult to infer how MNs\u2019 dendritic architecture affects electrical signal propagation, we used the graphical approach of the morphoelectrotonic transformation . By thimd) and the soma (Rms). Note that both Rmd and Rms are different in these two METs; Rmd is bigger, while Rms is smaller in Figure md makes the MET more compact, while the decreasing Rms has the opposite effect on compactness. When the geometry and the METs of dendritic arbors were compared, careful inspection found non-proportional changes in the MET size of dendritic branches relative to their morphological appearance of the MET may be different Figure B\u2013C indicms\u2009<\u2009Rmd), cervical and lumbar MNs also differed in their mean MET distances measured to branch points.To compare different METs of dendrites (representing electrotonic architectures in different membrane models) of the same MN, a set of MET descriptors Table was compDiscriminant analysis using MET descriptors classified cervical and lumbar MNs 100% and 95% correctly in all membrane models . Similar results were obtained when the number of descriptors was reduced. With just four descriptors MNs were still classified 87% segmentally correctly. These results were cross validated by the 16-fold and the repeated random subsampling techniques (in averms\u2009<\u2009Rmd) membrane. These values yield 84/533\u2009=\u20090.16 proximal to distal ratio for the geometrical size of branches, and 1.97/2.50\u2009=\u20090.79 and 1.94/1.68\u2009=\u20091.15 ratios in the METs with homogeneous and inhomogeneous membranes respectively. This observation suggests non-proportional changes in the size of dendrites during the MET, which depend on the distance of dendritic branch from the soma.In case of the two previously selected dendritic branches we calculated their geometrical and MET size ratios. The lengths of the proximal and distal branches were 84 and 533 \u03bcm respectively membrane model with 1.4 M\u03a9 neuron input resistance was assumed.To investigate these changes further, log attenuations of PSPs to soma were determined from different regions of the dendrites located within 100 \u03bcm path distance domains from the perikaryon. Then, the computed attenuations were divided by the mean attenuation of PSPs measured from dendritic sites within 0\u2013100 \u03bcm from the perikaryon. These relative attenuations were not linearly related to the path distances of locations where PSPs were generated indicating again a non-proportional change in size of dendrites during the METs Figure . Relativ\u22126) from the same geometrical distance in lumbar and in cervical MNs both in the homogeneous (Rms\u2009=\u2009Rmd), Figure ms\u2009<\u2009Rmd, Figure The mean somatopetal log attenuations of PSPs were determined as a function of path distance from the soma in different membrane models of the cervical and lumbar MNs Figure . GeneralNerve cells with significantly different sizes are likely to be different electrotonically too. However, it remains an important question if neurons with different sizes keep their electrotonic difference if their comparison is based only on their topological structure and size-dependency is ignored. Here we studied this issue by using size-independent comparisons of dendritic signal transfer properties in cervical and lumbar MNs. This type of electrotonic comparison is feasible since electrotonic structure - in analogy to the geometrical structure - is not only defined by metric-related properties, but also by the branching structure (topology) of dendritic trees affecting the shape of distributions of voltage and current transfer properties over the length of dendrites.th, 25th, 50th, 75th and 90th percentiles .In this set of analysis a constant current was injected to generate steady depolarizations in the midpoints of all cylindrical compartments of the cable model and voltage and current transfers to soma were measured. These transfer values were then processed as summarized above.th percentiles of distributions for the lumbar MNs and the generally shifted nature of percentiles relative to those of the cervical MN group in their steady-state voltage transfer properties. These segmental differences between MNs were detected at all levels of background synaptic activities with some tendency of MNs to get more similar with the decrease of background activity.By using somatopetal voltage transfers, our first observation was the higher variabilities for all, except the 90t-test, p\u2009<\u20090.02). MNs were getting more and more similar with the decrease of overall synaptic activity with a less obvious general shift in the standardized distributions Figure D. Cluste Figure A, B, as Figure .While steady-state approach measures transfer properties when the generation of PSPs can be approximated by a constant current injection, many synaptic events are short in time and are better approximated by transient conductance changes. Propagation properties of these transient voltage signals are different than those under steady-state circumstances. Therefore, we extended our analysis and investigated transfers of voltage transients. In these simulations PSPs were generated by brief conductance changes in dendritic points. The changes in shape parameters of transient PSPs were computed during their propagation to the soma and descriptors of these changes were created as described earlier. Box plots of these descriptors, once again, showed that lumbar MNs were more variable than the cervical ones in the way the amplitudes of voltage transients were reduced during their propagation to the soma Figure B\u2013C.t-test, p\u2009<\u20090.0005) than those calculated for clusters when segmental origin of MNs was artificially randomized in these cases. Graphs of both homogeneity indexes tended to remain in the territory where they represent no significant segregation of the two groups of MNs. Cervical and lumbar limb-moving MNs of frogs have structurally different dendrites imposing different attenuations of voltage amplitudes during their propagation to the soma. 2) On the other hand, these structural differences in dendrites do not distinguish the two classes of MNs in the way how half-widths and rise times of transient potentials are changing during their dendritic propagation.We investigated morphological and electrical differences between cervical and lumbar spinal motoneurons (MNs) that innervate fore- and hindlimb muscles in adult frogs. We deliberately did not want to compare MNs according to the specific muscles they innervate ,45-48 raMNs undergo substantial developmental changes during embryological and postnatal life that affect the size of cell bodies, size and branching structure of dendrites and these changes are accompanied by physiological maturation of membrane properties like specific membrane resistance, neuron resistance, resting membrane potential, spike shapes and excitability . Some ofOverall, these findings suggest that MN maturation is highly dependent on rostro-caudal position of neurons and therefore intrinsic differences in morphology and electrical properties of MNs may be expected to occur along the rostro-caudal axis. These differences have been investigated in the present study.To investigate segmental differences between MNs, we used pair-wise comparisons of morophological and electrotonic properties, multivariate discriminant analysis and cluster analysis. These methods have been successfully applied in classifying spinal MNs in the turtle , tectal We used high-fidelity compartmental cable models with a set of different membrane properties to account for the variability in neuron resistances measured experimentally, to analyze the effects of the varying size of inhomogeneity in the soma-dendritic membrane and to mimic synaptic background activity. However, in our models we considered a passive membrane. This restriction is validated by a number of factors. Although there is an ever growing list of evidence that voltage-dependent ion channels are present in the dendritic membranes of different nerve cells dendrites to total surface area and the low sensitivity of dendritic impulse propagation to the thickness of these dendrites we conclude, that the impact of 0.1\u20130.2 \u03bcm overestimation of diameters for the thinnest dendrites is unlikely to be significant in our study.We found segmental differences both in the numbers and distributions of branch points in dendrites of limb moving MNs of the cervical and lumbar segments. The bigger number of branch points in lumbar MNs does not merely mean more dendritic branches but also a topologically and electrotonically more complex dendritic architecture. Based on various morphological measures of dendritic complexity Dityatev et al. found thLocations of branch points are related to signal propagation in the dendrites both in the presence and absence of voltage\u2013dependent ion channels. In dendrites with passive membrane, the current transfer effectiveness generally changes abruptly at branch points altering the \u2018cost\u2019 of moving a synapse to a geometrically different location in terms of the change in the soma potential during synaptic activity ,78. In dComparison of the orientation of dendritic arborization also demonstrated differences between cervical and lumbar MNs. We found that the ventromedial extension of dendritic trees is more powerful in the cervical MNs. Experiments using retrograde cell degeneration technique showed that the ventromedial area in the gray matter of the cervical segments corresponds to the terminal fields of contralateral tectospinal pathways that do not extend to lumbar segments in frogs . Axon teThe morphology of MNs located in cervical, lumbar and sacral spinal segments have been investigated in several studies -48,84-87Comparison of our data on the morphology of lumbar MNs of frogs with MNs of cats showed several differences between the two species. The MNs in the frog presented smaller, elongated cell bodies emitting fewer stem dendrites. The size of the dendritic trees was about the half of that found in hindlimb innervating MNs of mammals ,88. LumbThe organization of dendritic arbor seemed to be also different in lumbar MNs of frogs and cats. While the dendritic trees of cat MNs emerge in almost all directions without any obvious preference, the dendritic trees of frog MNs are organized into dorsal, lateral and dorsomedial groups. The lateral dendrites dendrites form a dense subpial meshwork running parallel with the border of the spinal cord. This subpial dendritic plexus is well developed in lower vertebrates including anurans but it is reduced in mammals.ms) and dedndrites (Rmd). However, the detailed membrane properties (Rms and Rmd) of these large neurons are still not well known. In addition, the effective membrane resistance may be dependent on the activation state of synapses received by MNs in the functioning spinal networks. Therefore we used two approaches. First, we compared the METs of MNs by assigning different physiologically realistic somatic input resistances (1.4 or 5 M\u03a9) [ms\u2009=\u2009Rmd) and inhomogeneous (Rms\u2009<\u2009Rmd) soma-dendritic membrane with a canonical Rmd\u2009=\u200920000 \u03a9cm2 value for the dendrites of the same neuron was investigated on the similarities/dissimilarities of voltage and current transfer properties of cervical and lumbar MNs by taking Rmd\u2009=\u200920000 \u03a9cm2 as a control value. Higher and lower levels of synaptic activities were modelled by decreasing the Rmd to 5000 \u03a9cm2 and increasing it to 50000 \u03a9cm2, while the Rms was kept constant at 500 \u03a9cm2[Our major aim was to test if limb moving MNs are different electrically in the cervical and lumbar segments of the spinal cord. Factors shaping the electrical properties of neurons include the specific membrane resistance of the soma (Rr 5 M\u03a9) ,18,19 wi 500 \u03a9cm2,33,34 on MNs Comparison of the METs with the original geometry of dendrites showed increasingly disproportionate changes in MET sizes in the more distant locations. This was observed independently of the size of soma-dendritic membrane inhomogeneity and the resistance of the neurons. According to the cable theory, in an infinite cylinder with passive membrane the voltage is decaying exponentially with distance if a steady current is injected Which distance domains of the dendrites do differentiate between cervical and lumbar MNs and 2) How these distance domains do change when properties of the soma-dendrite membrane are altered?Two distance domains, whose separation was at ~1500 \u03bcm distance, could be identified from where voltage attenuations to soma were characteristically related to the segmental origin of MNs. In this context we found the followings: i) PSPs propagating along the passive dendrites of cervical MNs attenuated less to soma than PSPs in lumbar MNs if the synapses were closer than ~1500 \u03bcm. The relationship is the opposite if PSPs were generated farther than ~1500 \u03bcm from the soma. ii) These findings are independent of the size of neuron resistivity and the inhomogeneity of the soma-dendritic membrane surface.ms\u2009<\u2009Rmd) nature of the soma-dendritic membrane would be kept, while the neuron input resistance becomes lower with the overall increase in synaptic activity. However, the impact of background synaptic activity on membrane resistance is presumably bigger in dendrites than in the soma since ~95\u201398% of the membrane surface is given by the dendrites and the majority of synapses are received there in frog spinal MNs [The observation that these relationships are independent of the size of neuron resistance suggests implications for the control of PSP attenuations by the uniform decrease or increase of background synaptic activity that changes the effective membrane resistance over the soma-dendritic membrane -31. In tnal MNs . Consequnal MNs ,26,27 anGlobal comparison of log attenuations (MET) of cervical and lumbar MNs resulted in a nearly 100% segmentally correct classification by discriminant analysis. Electrical structures of MNs were further investigated by the voltage and current transfers in dendrites at different intensities of synaptic background activity. In these analyses we used standardized distributions of the transfer values to isolate structure-related electrical differences from those related purely to size. Such structural differences were suggested by the different numbers and distributions of branch points in MNs of the two spinal segments and by the different distance-dependence of log attenuations in the two groups of MNs.This way, it was relevant to ask directly whether the electrotonic differences between fore- and hindlimb moving MNs are entirely due to their different metric (size-related) morphological properties or they are consequences of the different dendritic structures.Voltage transfer properties showed differences in the two groups of neurons both in steady-state and in case of transient signals. This suggests that identical inputs propagate differently in the dendrites of cervical and lumbar MNs and the level of depolarization reaching the soma or the nearby axon hillock may be different. Threshold potentials were investigated experimentally in putative MNs along the spinal cord in young frogs and no significant tendency of changes was detected according to the rostro-caudal positions of neurons suggestiHowever, it is disputed if the major determinant of firing is to exceed a certain voltage threshold or to deliver enough current (charge) to the soma since experimental evidence exists to support each view depending on the conditions of action potential initiation direction . Our resUnder steady-state conditions we detected a general tendency of increasing segregation (differences) between the limb moving MNs as the background synaptic activity was increased. This tendency was more pronounced if current rather than voltage transfers were considered. A similar tendency of increasing differences in electrotonic properties during higher synaptic activities was reported in a comparative study on different classes of spinal neurons, including MNs, in the cat .Our findings on segmental segregation tendencies of limb moving MNs based on their morphological and dendritic signal transfer properties are strengthened by the consistency of the results obtained with the many different and validated statistical approaches, independently of the type of homogeneity index used, the choice of hierarchical cluster analysis and the weighting factors of descriptors.structural differences in motoneurons along the rostro-caudal axis of the spinal cord. The location-dependent differences are likely to affect input\u2013output properties of these MNs.We showed location specificity of morphological and electrical transfer properties of the limb moving class of motoneurons in the frog spinal cord. Many of the location-specific differences were size-independent emphasizing the importance of The results present the first detailed systematic analysis of the location-dependent properties of spinal motoneurons and suggest that specificity of locomotor networks, which control fore- and hind limb movements, is partly due to differences in their motoneurons.These differences might reflect a basic initial segmental developmental pattern of MNs, which may then be refined according to the needs of specific muscles they innervate. This concept may obtain support from the experimental findings that the targets of these MNs are specified before the outgrowth of axon ,102. Furmax: Peak synaptic conductance; tmax: Time to peak of the synaptic conductance; Rmd: Specific dendritic membrane resistance; Rms: Specific somatic membrane resistance; RN: Neuron resistance.ANOVA: Analysis of variance; BRP: Branch point of a dendrite; CNS: Central nervous system; ENDP: End point of a dendrite; EPSP: Excitatory postsynaptic potential; Hox: Homeobox; MET: Morphoelectrotonic transformation; MN: Motoneuron; PAST: Palaeontological statistics; PSP: Postsynaptic potential; SEM: Standard error of means; SPSS: Statistical package for the social sciences; \u03bb: Space constant; gThe authors declare that they have no competing interests.AS wrote the program codes, run simulations, carried out statistical tests and contributed to drafting the paper. JS participated in running simulations and in data analysis. IW and AB reconstructed the neurons. AB also contributed to the body text. EW designed the study, participated in analysis and interpretation of data, and finalized the text. All authors read and approved the final manuscript."}
+{"text": "Methotrexate (MTX) is one of the most common disease modifying antirheumatic drugs used for the treatment of juvenile idiopathic arthritis (JIA). Reliable predictors for the efficacy of MTX therapy would be very helpful for the development of more personalized therapy in an early stage of the disease.We investigated whether Reduced Folate Carrier (RFC) (C347G), and Aminoimidazole Carboxamide Ribonucleotide Transformylase (ATIC) (G80A) gene polymorphisms were related to the efficacy of methotrexate in JIA patients with a polyarticular course.Ninety seven JIA patients with a polyarticular course were enrolled into the study. All patients received methotrexate treatment for at least for 6 months. The efficacy of treatment was judged by improvement in physician\u2019s global assesment, the number of affected joints, erythrocyte sedimentation rate and C-reactive protein. RFC and ATIC gene polymorphisms were determined by polymerase chain reaction- restriction fragment length polymorphism ( PCR-RFLP) analysis.The median age of the patients was 72 (12-92) months. The response rate to MTX was 45%. There was no significant association between RFC and ATIC polymorphisms and efficacy of MTX treatment .In this study the response to MTX was not associated with RFC and ATIC polymorphisms. The pharmacogenomics related to MTX is probably quite complex. One probably needs to study all polymorphisms in the related enzymes and associated pathways to predict response to MTX."}
+{"text": "Primary immune deficiencies (PID) are genetic disorders resulting in recurrent infections. Immunoglobulin replacement therapy in PID patients can be achieved intravenously (IVIG) or subcutaneously (SCIG) with similar efficacy and safety profiles but with different resource use and associated costs.SCIG and IVIG options for immunoglobulin replacement therapy in adult PID patients were compared in a cost-minimization model over three years of treatment. The model focused on direct medical costs for infusion supplies and personnel. A three-year budget impact model assessed the economic impact on the healthcare system of switching from IVIG to SCIG for PID patients of the BC Central Transfusion Registry. Sensitivity analyses were performed for both models to measure the effect of different modalities of IVIG treatment and of the proportion of patients switching from IVIG to SCIG.The cost-minimization model estimated SCIG treatment cost per patient over three years at $1978 compared to $7714 for IVIG, resulting in savings to the healthcare system of $5736, principally due to reduced hospital personnel costs. This figure varied from $5035 to $8739 for different modalities of IVIG therapy. Assuming that 50% of patients who received IVIG switched to SCIG, the budget impact model estimated cost savings for the first three years at $1,307,894 or 37% of the personnel and supply budget.This study demonstrated that rapid push home-based SCIG was less costly than hospital-based IVIG for immunoglobulin replacement therapy. This approach provides not only a beneficial option from the patient perspective but also results in significant savings to the healthcare system for immunoglobulin replacement therapy in adult PID patients in a Canadian context."}
+{"text": "Pteronotus parnellii is a widespread Neotropical bat and the only New World species to use high-duty cycle echolocation, a trait otherwise restricted to Old World taxa. Here we analyze morphological and acoustic variation and genetic divergence at the mitochondrial COI gene, the 7th intron region of the y-linked Dby gene and the nuclear recombination-activating gene 2, and provide extensive evidence that P. parnellii is actually a cryptic species complex.Molecular techniques are increasingly employed to recognize the presence of cryptic species, even among commonly observed taxa. Previous studies have demonstrated that bats using high-duty cycle echolocation may be more likely to speciate quickly. Central American populations form a single species while three additional species exist in northern South America: one in Venezuela, Trinidad and western Guyana and two occupying sympatric ranges in Guyana and Suriname. Reproductive isolation appears nearly complete . The complex likely arose within the last ~6 million years with all taxa diverging quickly within the last ~1-2 million years, following a pattern consistent with the geological history of Central and northern South America. Significant variation in cranial measures and forearm length exists between three of the four groups, although no individual morphological character can discriminate these in the field. Acoustic analysis reveals small differences (5\u201310 kHz) in echolocation calls between allopatric cryptic taxa that are unlikely to provide access to different prey resources but are consistent with divergence by drift in allopatric species or through selection for social recognition.This unique approach, considering morphological, acoustic and multi-locus genetic information inherited maternally, paternally and bi-parentally, provides strong support to conclusions about the cessation of gene flow and degree of reproductive isolation of these cryptic species. Central and northern South America are frequently cited as hotspots for speciation due to complex biological and geological processes in this area. The rise of the Central American land bridge some 3 million years ago caused a sudden mixing of previously isolated terrestrial species in the Great American Interchange while simultaneously isolating marine populations on the Atlantic and Pacific sides . The risPipistrellus].].Primer Click here for file"}
+{"text": "The proposal that dietary docosahexaenoic acid (DHA) enhances neurocognitive functioning in term infants is controversial. Theoretical evidence, laboratory research and human epidemiological studies have convincingly demonstrated that DHA deficiency can negatively impact neurocognitive development. However, the results from randomized controlled trials (RCTs) of DHA supplementation in human term-born infants have been inconsistent. This article will (i) discuss the role of DHA in the human diet, (ii) explore the physiological mechanisms by which DHA plausibly influences neurocognitive capacity, and (iii) seek to characterize the optimal intake of DHA during infancy for neurocognitive functioning, based on existing research that has been undertaken in developed countries . The major observational studies and RCTs that have examined dietary DHA in human infants and animals are presented, and we consider suggestions that DHA requirements vary across individuals according to genetic profile. It is important that the current evidence concerning DHA supplementation is carefully evaluated so that appropriate recommendations can be made and future directions of research can be strategically planned. It is argued that infants are capable of synthesizing n-3 and n-6 LC-PUFAs endogenously from their shorter chain precursors , while all n-6 PUFAs are derived from linoleic acid . and arachidonic acid . These three fatty acids all carry out separate, complex functional roles in the body than n-3 PUFA due to high intakes of beef, pork, poultry, wheat germ, and various cooking oils to support optimum health across the lifespan, especially during pregnancy and lactation are important for the function of the CNS at the cellular and neurobiological level. The concentration of DHA and other LC-PUFAs within the brain can alter the neuronal membrane fluidity and physical structure of neurons in pregnancy found a significant association between low maternal seafood consumption (<340 g per week) and suboptimal neurocognitive outcomes in childhood from Bangladesh found that maternal DHA supplementation from 25 weeks gestation until delivery had no effect on infant BSID-II mental and psychomotor performance outcomes at 10 months . However, this RCT revealed that children in the treatment group manifested significantly lower incidence of cognitive delay compared to their un-supplemented counterparts.A meta-analysis and systematic review of maternal d et al. highlighd et al. . This RCIn summary, RCTs and epidemiological studies evaluating the potential neurocognitive impact of maternal DHA supplementation during pregnancy have revealed somewhat heterogeneous results in healthy term infants. Consequently, it may be premature to make unequivocal recommendations about any neurocognitive benefits of DHA supplementation in healthy term infants based on the currently available research findings.Over the years, many prospective observational studies have indicated that breastfed infants have a significant neurocognitive advantage over their formula fed counterparts are positively correlated with infant neurocognitive outcomes or placebo (un-supplemented formula). The majority of trials in healthy term infants have shown little or no consistent, beneficial effects on neurocognitive outcomes as a result of dietary LC-PUFA supplementation. However, infant LC-PUFA supplementation has resulted in no negative effects on growth, development or morbidity , Beyerlein et al. were randomized to either very high dose fish oil (incorporating >250 mg DHA plus 60 mg EPA) or placebo (olive oil) per day from birth to 6 months. The study determined that while infants within the fish oil group had significantly higher DHA concentrations in erythrocyte and plasma phospholipids at 6 months of age relative to the placebo group, there was no significant difference between standard or composite scores of the BSID-III (third edition) at 18 months or on outcomes from the Child Behavior Checklist. In a subtest which explored the development of infant communication skills (n = 185), the study found that scores for later developing gestures and total number of gestures were significantly higher in the fish oil group compared to the placebo group at both 12 and 18 months. This finding is interesting since gestural skills in infancy are associated with visual recognition memory, deferred imitation and turn-taking skills use infant formula and are constrained by the consideration that their study samples have chosen not to breastfeed, thereby reducing external validity of the findings in order to increase breast milk DHA . Yet the number of children in the DHA group with low cognitive scores (indicative of mildly delayed development) was significantly smaller in the treated group compared with the control group. In pre-planned secondary analyses, the DINO study found DHA supplementation had a significantly positive effect on cognitive outcomes in girls compared to boys. The reason for differences in response to DHA as a function of gender remains unclear but may be related to the higher rate of LC-PUFA synthesis that has been identified in females double-blind RCT provided supplementation to lactating mothers and delta-6 desaturase (D6D) and influence the efficiency with which shorter chain n-6) and dihomogamma linolenic acid to desaturation products, including the LC-PUFAs has also found long term neurocognitive benefits from breastfeeding to be gender specific , many researchers suggest that further work should be undertaken in order to better define optimal DHA intakes before and during infancy.DHA is known to play a critical role in the developing human brain and there is evidence of its neurobiological importance during infancy and thereby derive potentially more reliable conclusions , many manufacturers of infant formula include DHA and AA in certain formulations and market them as \u201csuperior products\u201d which provide a distinct neurocognitive advantage (Simmer et al., The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Ultrasound-mediated drug delivery under the guidance of an imaging modality can improve drug disposition and achieve site-specific drug delivery. The term focal drug delivery has been introduced to describe the focal targeting of drugs in tissues with the help of imaging and focused ultrasound. Focal drug delivery aims to improve the therapeutic profile of drugs by improving their specificity and their permeation in defined areas. Focused-ultrasound- (FUS-) mediated drug delivery has been applied with various molecules to improve their local distribution in tissues. FUS is applied with the aid of microbubbles to enhance the permeability of bioactive molecules across BBB and improve drug distribution in the brain. Recently, FUS has been utilised in combination with MRI-labelled liposomes that respond to temperature increase. This strategy aims to \u201cactivate\u201d nanoparticles to release their cargo locally when triggered by hyperthermia induced by FUS. MRI-guided FUS drug delivery provides the opportunity to improve drug bioavailability locally and therefore improve the therapeutic profiles of drugs. This drug delivery strategy can be directly translated to clinic as MRg FUS is a promising clinically therapeutic approach. However, more basic research is required to understand the physiological mechanism of FUS-enhanced drug delivery. The LTSL system showed a higher leakage of doxorubicin at 37\u00b0C, but a faster release of doxorubicin at 42\u00b0C compared to the TTSL system indicating that lipid composition plays an important role on stability and release profile chains and polyamidoamine G3 dendron-based lipids having Gdstration .In our group we have investigated the potential of an MRI labelled phospholipid/lysolipid containing liposome to accumulate in tumours and release the drug under conditions of mild hyperthermia induced by FUS.We label the liposome nanoparticles with a lipid that consists of a DOTA headgroup 44, 45], 4544, 4Although most research studies have focused mainly in thermoresponsive liposomes and FUS activation of drug release, there is limited work on the use of polymers (thermoresponsive or not) and their application in FUS triggered drug delivery. The effect of ultrasound on drug release from polymers was studied in 1989 by Kost et al. and indeed the authors found that ultrasound can increase the polymer degradation rate leading to 20 times higher release rate. Interestingly the authors observed that the release rate increased in proportion to the intensity of ultrasound proposing that cavitation appeared to play a significant role . Triggered drug delivery using an external physical force provides the required control of drug deposition in certain tissues avoiding exposure of healthy tissues to high (toxic) concentrations. The trigger induced delivery should be acute and the effect induced on nontargeted tissues nondamaging and reversible. Hyperthermia induced by a means like ultrasound can be exploited as an external trigger in drug delivery , 47.Mild hyperthermia can be induced by pulsed FUS that can reduce extreme tissue heating by allowing the tissue to cool down between US exposures . The incFUS can also induce nonthermal effects on tissues. Acoustic cavitation can be induced using microbubbles exposed to US . AcoustiAn important application of HIFU and microbubbles lies in the area of altering the permeability of the blood brain barrier (BBB). In a study in 2002, Mesiwala et al. observed that HIFU could alter BBB permeability. HIFU induced reversible, nondestructive, BBB disruption in a targeted area and this opening reversed after 72\u2009h. The authors showed with microscopy that HIFU either entirely preserved brain architecture while opening the BBB, or generated tissue damage in a small volume within the region of BBB opening. Further electron microscopy suggested that HIFU disrupted the BBB by opening capillary endothelial cell tight junctions, a mechanism that was not observed in other methods used to open BBB . The effect of FUS on tight junctions' integrity was later confirmed in a study investigating rat brain microvessels after this BBB disruption. The authors used immunoelectron microscopy to identify tight junctional proteins such as occludin, claudin-1, claudin-5, and submembranous ZO-1 after sonication. They found substantial redistribution and loss of occludin, claudin-5 and ZO-1. However, claudin-1 seemed less involved. Monitoring the leakage of horseradish peroxidase (MW 40\u2009KDa) the authors observed that the BBB disruption appears to last up to 4\u2009h after sonication . In a laHynynen and colleagues investigated the BBB FUS enhanced permeability in rabbits. Rabbit brains were exposed to pulsed focused ultrasound while microbubbles were intravenously administered. The BBB opening was measured by an MRI contrast agent evaluating the local enhancement in the brain. The authors found that low ultrasound powers and pressure amplitudes were found to cause focal enhancement of BBB permeability. Trypan blue injected before animals were sacrificed indicated blue spots in the areas of the sonicated locations . The autMcDannold et al. tested the safety of this method by searching for ischemia and apoptosis in areas with BBB disruption induced by pulsed ultrasound in the presence of gas bubbles and by looking for posttreatment effects up to one month after sonication. Pulsed ultrasound exposures (sonications) were performed in the brains of rabbits under monitoring by MRI. BBB disruption was confirmed with contrast-enhanced MR images. Whole brain histologic examination was performed using staining for ischemic neurons and TUNEL staining for apoptosis. Tiny regions of extravasated red blood cells scattered around the sonicated locations, indicated capillaries. Despite these vasculature effects, only a few cells in some of the sonicated areas showed evidence of apoptosis or ischemia. The authors found that ultrasound-induced BBB disruption is possible without inducing substantial vascular damage that would result in ischemic or apoptotic death to neurons . The method could find application in the delivery of large therapeutic molecules that do not normally permeate the BBB. Herceptin (trastuzumab), a humanized anti-human epidermal growth factor receptor 2 (HER2/c-erbB2) monoclonal antibody, was delivered locally and noninvasively into the mouse central nervous system through the blood-brain barrier under image guidance by using an MRI-guided focused ultrasound. The amount of herceptin delivered to the target tissue was correlated with the extent of the MRI-monitored barrier opening, making it possible to estimate indirectly the amount of Herceptin delivered. The method could be used to treat breast cancer metastases to the brain . It was Delivery of small molecules can also be enhanced with the use of HIFU cavitation disruption of the BBB. Treat et al. demonstrated relatively high concentrations of doxorubicin in the brain with minimal healthy tissue damage effects. The authors observed that doxorubicin accumulation in nontargeted contralateral brain tissue remained significantly lower. MRI signal enhancement in the sonicated region correlated strongly with tissue doxorubicin concentration, suggesting that contrast-enhanced MRI could perhaps indicate drug penetration during image-guided interventions .Ktrans\u2061 (the transfer rate constant from the intravascular system to the extracellular extravascular space) values were calculated for a predefined volume of interest in the sonicated and the control area for each mouse. The results demonstrated that Ktrans\u2061 in the BBB-opened region was at least two orders of magnitude higher when compared to the contralateral (control) side [Konofagou and coworkers assessed the spatial permeability of the BBB-opened region using dynamic contrast-enhanced MRI (DCE-MRI) in mice. The authors processed DCE-MR images using the general kinetic model and the reference region model. Permeability maps were generated and the ol) side .There are several parameters to affect the level of BBB enhanced permeability and the endothelial tight junctions disruption; the pulse sequence comprising short bursts, the spacing between bursts or the rate of infusion of the microbubbles, and the size of microbubbles were found to affect the effect on BBB disruption , 70.The method could be applied for a number of therapeutic applications. The brain-derived neurotrophic factor (BDNF) was delivered to the left hippocampus in mice through the noninvasively disrupted blood-brain barrier (BBB) using focused ultrasound. The BDNF bioactivity was found to be preserved following delivery as assessed quantitatively by immunohistochemical detection of the pTrkB receptor and activated pAkt, pMAPK, and pCREB in the hippocampal neurons. It was shown that BDNF delivered this way induced signalling effects in a highly localized region in the brain . However it is the area of targeting brain tumours that have attracted most interest in the FUS disrupted BBB . Mei andLiu et al. investigated the delivery of 1,3-bis(2-chloroethyl)-1-nitrosourea (BCNU) to glioblastomas in rats with induced tumours with the help of FUS. The authors found that FUS significantly enhanced the penetration of BCNU through the BBB in normal and tumour-implanted brains without causing bleeding. Surprisingly, treatment of tumour-implanted rats with focused ultrasound alone had no beneficial effect on tumour progression. However, treatment with focused ultrasound before BCNU administration controlled tumour progression and improved animal survival relative to untreated controls .Liu and colleagues recently assessed FUS-mediated delivery of an iron oxide magnetic nanoparticle (MNPs) conjugated to an antineoplastic agent, epirubicin. They used MNPs because of the favourable MR imaging characteristics, which could facilitate imaging. They demonstrated a substantial accumulation of MNPs, as well as epirubicin, up to 15 times the therapeutic range in the brain when delivered with FUS. They further showed decreased tumour progression in animals with brain tumours that received MNP with epirubicin via FUS .111I-labeled AP1-Lipo-dox using microSPECT. The authors confirmed that sonication increased liposomal doxorubicin concentrations in tumour areas (murine glioblastoma) and that molecular targeting acts synergistically with FUS [Receptors targeting liposomal nanocarriers have been combined with MRgFUS to treat brain tumours. In a recently presented study it was shown that pulsed HIFU and human atherosclerotic plaque-specific peptide-1- (AP-1-) conjugated liposomes containing doxorubicin (AP-1 Lipo-Dox) acted synergistically in an experimental brain tumour model. Prior to each sonication, AP-1 Lipo-Dox or unconjugated Lipo-Dox were administered intravenously, and the concentration in the brain was quantified. Drug injection with sonication increased the tumour-to-normal brain doxorubicin ratio of the target tumours by about twofold compared with the control tumours. Moreover, the tumour-to-normal brain ratio was the highest after the injection of AP-1 Lipo-Dox with sonication. The results of this study indicate that combining targeting strategies can substantially enhance delivery of chemotherapy in the brain . In a sewith FUS . Targeted gene transfer into central nervous system was investigated using MRI-guided focused ultrasound-induced blood-brain barrier disruption. The results of this study showed that MRI-guided FUS achieved plasmid DNA transfer across the opened BBB furthermore plasmid ware internalized into the neurons presenting heterogeneous distribution and numerous transparent vesicles were observed in the cytoplasm of the neurons in the sonicated region, suggesting vesicle-mediated endocytosis. BDNF (and BDNF-EGFP) expressions were markedly enhanced by the combination of ultrasound and pBDNF-EGFP-loaded microbubbles about 20-fold than that of the control group. The method by using MRI-guided FUS to induce the local BBB disruption could accomplish effective targeted exogenous gene transfer in the CNS. In this study the microbubbles were used as the plasmid carrier. The investigators conjugated plasmid onto the surface of microbubbles and they coated these carriers using polymers in a layer by layer technique .An exciting application is the delivery of therapeutic stem cells to the brain using FUS to potentially treat neurodegenerative diseases, traumatic brain injury, and stroke. MRI guidance was used to target the ultrasound beam thereby delivering iron-labeled, green fluorescent protein (GFP) expressing neural stem cells specifically to the striatum and the hippocampus of the rat brain. Immunohistochemical analysis confirmed the presence of GFP-positive cells in the targeted brain regions suggesting that MRIgFUS may be an effective alternative to invasive intracranial surgery for stem cell transplantation .Although a very efficient approach, the use of microbubbles to enhance drug permeation through tissues, it may require significant safety consideration. In a key study in 2005 Prentice et al. presented clearly in a well-designed experimental setup that there are important interactions between individual cells and violently cavitating microbubbles leading to large pores in the cell membrane (sonoporation) . These eDuring the last few years there has been an expansion in research in MRgFUS drug delivery. The main dosage forms tested in MRgFUS drug delivery strategy are the thermosensitive liposomes and the lipid based microbubbles that can be conjugated with drugs or other liposomes on their surface , 81.There is limited research in the area of using other responsive materials or nanocarriers. Rapoport discussed recently the potential of using micelles and FUS for enhaIt is clear that already established delivery systems such as different structurally nanocarriers have not been investigated in combination with image guided FUS. It would be interesting to see the effect of FUS on the enhanced permeability of micelles, polymers (dendrimers cyclodextrins), or metal nanoparticles (gold-iron) to tissues. Thermosensitive materials have been hardly explored in this field. Polymers or proteins that respond to small change of temperature could form suitable image guided FUS triggered platforms. The effects of FUS in biological tissues with or without carriers will require a more thorough investigation to understand the short- and long-term effects of ultrasound in the body and the complex environments such as tumours, blood vessels, and bone. The mechanism of FUS induced hyperthermia and/or the FUS tissue permeability increase is not well understood at cellular and molecular levels. There is limited knowledge on the effects of FUS on genomic DNA and if certain proteins are overexpressed after FUS treatment. In addition to the above, the frequency of FUS drug delivery treatments (or dosing) and the long-term effects in the body will have to be investigated in preclinical studies in order to design a FUS drug treatment regime. An imaging modality will have to be used for accurate image guided FUS therapy. In the case of MRI clinically approved contrast enhancing agents will have to be added to the delivery system to monitor carriers' distribution in the treatment area as well as efficient and rapid release. Considering the approval in clinical applications, such treatments will require the control of several factors such as drug and drug carrier, MRI contrast enhancing agents, and MRgFUS parameters, and this could mean several regulatory hurdles. However, the fact that most of the components have been tested in clinical trials is encouraging for such approach to move forward. Most of the current strategies to increase tumour specificity of nanocarriers include the use of tumour biomarkers for either targeting (receptors) or for triggered release and/or the use of external stimuli such as light and ultrasound. Biomarkers and internal stimuli may vary in different tumours indicating that such nanocarriers for cancer treatments should be \u201cindividualised.\u201d External stimuli can be used independent the tumours characteristics and therefore guarantee a more uniform effect. FUS can be used as an external stimulus to activate drug delivery in tissues. It also shows the significant advantages of being noninvasive as well as controlled and focused. Overall MRgFUS drug delivery is a novel and valuable tool to increase drug targeting and tissue specific drug delivery. It is expected that future studies will prove the clinical efficacy of MRgFUS drug delivery applications."}
+{"text": "In this study we report on our recent technological and data analysis advancements to investigate the propagation and the interplay of spontaneous and electrically evoked activities in cultured networks. To do so, a novel high density MEA with on-chip stimulating electrodes was realized. It provides whole-array recordings from 4096 electrodes and electrical stimulation from 16 electrodes located every 8 recording sites. Here, this device was used to interface hippocampal neuronal networks. From the second week in vitro [Principal Component Analysis (PCA) we can properly reconstruct the time course of spatiotemporal propagations with a minimal set of three components (i.e. explaining ~90% of the variance of the trajectories). The PCA classification based approach allowed us to characterize both intrinsic and electrically evoked network-wide propagations. Interestingly, our results show that electrical stimulation can evoke (i) distinctive propagations that depend on the specific spatial-temporal properties of the stimulus as well as (ii) propagations that are already expressed in the intrinsic 'repertoire' of network bursts. Here we will discuss these results and our observations on the interplay between intrinsic and electrically evoked network-wide propagations.High density microelectrode arrays (MEAs) provide extracellular recordings from thousand of electrodes ("}
+{"text": "This leads to both impaired migration to the locus of infection and increased infiltration into healthy tissues. In order to better understand the pathophysiologic mechanisms involved, we developed a coarse-grained phenomenological model of the acute inflammatory response in CLP -induced sepsis in rats. This model incorporates distinct neutrophil kinetic responses to the inflammatory stimulus and the dynamic interactions between components of a compartmentalized inflammatory response. Ensembles of model parameter sets consistent with experimental observations were statistically generated using a Markov-Chain Monte Carlo sampling. Prediction uncertainty in the model states was quantified over the resulting ensemble parameter sets. Forward simulation of the parameter ensembles successfully captured experimental features and predicted that systemically activated circulating neutrophils display impaired migration to the tissue and neutrophil sequestration in the lung, consequently contributing to tissue damage and mortality. Principal component and multiple regression analyses of the parameter ensembles estimated from survivor and non-survivor cohorts provide insight into pathologic mechanisms dictating outcome in sepsis. Furthermore, the model was extended to incorporate hypothetical mechanisms by which immune modulation using extracorporeal blood purification results in improved outcome in septic rats. Simulations identified a sub-population (about The pathophysiology of sepsis is complex and our mechanistic understanding remains incomplete. Mathematical models of the inflammatory response have been providing intellectual frameworks to reason about the complexity of sepsis. Due to an incompletely understood system along with very limited data, our approach focuses on building simplified, falsifiable and predictive models, and offers a means to quantify parametric uncertainty. Based on the construct that deterministic ensemble models exhibit population-like behavior, we developed a population-based computational framework that incorporates dysregulated neutrophil hyperactivity as a cellular dysfunction in septic processes. We hypothesize that probability distributions of physiological parameters conditional on population observations can characterize the range of possible physiologic responses in a population. Comparing the parameter ensembles from different phenotypes reveals some factors that play an important role in the expression of such phenotypes, such as sepsis survival. This framework can serve as an effective tool to gain insight into the pathophysiology of severe sepsis and generate testable hypotheses that guide future experiments. Our approach holds promise as a tool for integrating domain knowledge and experimental data into a quantitative assessment of population dynamics. Sepsis is defined as infection accompanied by signs of systemic inflammation, such as fever, tachycardia, tachypnea, or an abnormal white blood cell count primed by interacting with inflammatory mediators that have entered the circulation as a consequence of a large local production by dedicated tissue macrophages at the site of infection and subsequent spill over of these mediators in tissue capillaries. Primed neutrophils express integrins, surface molecules that can interact with similarly activated capillary endothelial cells, resulting in rolling and activation. Activated neutrophils adhere to endothelial cells followed by transmigration into tissue Adequate recruitment of neutrophils to sites of infection is one of the early and important features of a successful immune response. Mounting evidence suggests that severe sepsis is characterized by impaired neutrophil migration to the primary infected site and deleterious accumulation of neutrophils in distant, yet uninfected organs, resulting in organ dysfunction and death To better understand the pathophysiologic mechanisms involved, we developed a population-based computational framework that incorporates distinct neutrophil kinetic responses in a compartmentalized model of CLP -induced sepsis in rats. Experimentally constrained model ensembles were generated to represent a heterogeneous population, data uncertainty and other unexplained sources of variability. We previously showed that uncertain deterministic ensembles collectively exhibited population-like behavior and suggested deterministic ensembles could be a coarse-grained strategy to model population heterogeneity in silico platform for generating and testing immunomodulatory interventions for sepsis. Presumably, insight as to dominant mechanisms at work would guide the rational engineering of improved HA devices resulting in an enhanced impact on outcome.The primary motivation of this work is the experimental observation that one form of extracorporeal blood purification, known as hemoadsorption (HA), was found to be beneficial in animal models of sepsis, including endotoxic shock survivor and non-survivor populations) which describe distinct distributions of parameter sets consistent with their experimental observations and heuristics. These ensembles were statistically generated using Markov-Chain Monte Carlo (MCMC) sampling of their posterior parameter distributions. Convergence diagnostics was applied to support that the sampling process had reached equilibrium. Prediction uncertainties in the model states were quantified over the resulting ensemble.We developed a compartmentalized, coarse-grained phenomenological model of the inflammatory response to an invading pathogen in the specific context of CLP-induced sepsis in rats. Model parameters sets were optimized to reproduce the time courses of mean plasma measurements from a cohort of septic rats, while insuring that some basic heuristic behaviors of the system in accord with published literature were maintained Simulation of the model ensembles successfully reproduced experimental observations and desired heuristic behaviors, and suggests that systemic activation of circulatory neutrophils impair their migration to primarily infected tissue, while promoting sequestration in lung tissue favoring local damage and presumably, mortality. Statistical analysis of the model ensembles obtained for separate populations provided useful insights as to key pathologic mechanisms associated with mortality in sepsis.We next simulated a hypothetical blood purification intervention on the calibrated model ensemble. Simulations suggest that this therapy might improve targeting of primed neutrophils to the primary site of infection while interfering with lung sequestration of activated neutrophils, but that there is also a potential for harm in animal with poorly responsive immune systems.We hypothesized that dysregulated neutrophil trafficking in severe sepsis may contribute to mortality survival for in silico septic rats: at the end of the simulation time (200 hours), both the following constraints should be satisfied: (1) the number of bacteria for each parameter The proposed model reproduced quantitative dynamic features observed in CLP-induced septic rats, verifying the description of the model reflects the inflammatory responses in CLP-induced septic rats . InsteadImpaired neutrophil migration to infected tissue and deleterious neutrophil accumulation in lung were predicted in the simulation of the non-survivor population. It should be emphasized that the model prediction of dysregulated neutrophil trafficking is an emergent property of the model since no neutrophil data were used to constrain model behavior on the Hessian of the cost function. Hessians were approximated by inverting the empirical covariance matrices of the survivor and non-survivor parameter ensembles The model parameters and their correlations reflect the influence of internal and external factors on the model. To explore potential factors that can differentiate the survivor population from the non-survivor population, we analyzed and compared the model parameter ensembles derived from the survivor and non-survivor cohorts. In the setting of parameter estimation of complex models, it has been well recognized that model behavior is very sensitive to a few directions called panels B, C, D). Large absolute magnitude of a coefficient imply major contributions of that parameter to the principal component direction. Deviations from the diagonal line indicate the parameters that lead to different behaviors between the survivor and non-survivor models. These comparative plots between the survivor and non-survivor populations reveal parameter subsets that characterize mechanisms associated with mortality in the non-survivor population. This is especially applicable to the first principal components, but not exclusively given the non-negligible nature of other components to total variability in The coefficients of the linear combinations of the original variables contributing to the first three largest principal components, which represents the individual parameter's contributions to the corresponding principal components, are illustrated in While the correlation matrix provides merely bivariate information, the inverse correlation matrix reveals true multivariate interactions. The diagonal elements of the inverse of the correlation matrix are directly related to the multiple correlation of each parameter with the other parameters lose correlation, gain correlation, and flip correlation (5 C). The parameter pairs in the lose correlation group significantly lose their partial correlations in the non-survivor population. gain correlation implies the opposite. The parameter pairs in the flip correlation group change their direction of correlations (positive or negative) between two population. Sixty percent of the significant changes are found in the lose correlation group, which confirms the previous finding that a loss of regulation (correlation) in the non-survivor population is associated with mortality. We also identified some key parameters that are frequently involved in the significant changes of pair correlations. Among them are parameters 19 (time constant for neutrophil migration), and 13 (time constant for neutrophil priming), suggesting again that coordinated neutrophil functions are critical for survival. The most significant loss of correlation was observed in the pair of parameters 13 and 1 (PI activation threshold by bacteria), suggesting that a positive correlation between the PI activation threshold and the time constant for blood neutrophil priming is essential for survival , high mobility group box1 (HMGB1), creatinine (CRT) and alanine aminotransferase (ALT) were measured from The CLP-induced sepsis experimental protocol is a recommended proxy for human sepsis, where the infection spreads beyond a local focus, resulting in systemic symptoms, septic shock and a high mortality The network components and interactions of the model were compiled from available information in the literature and the general domain knowledge about the acute inflammatory response. Ordinary differential equations (ODEs) governing the phenomenological signaling interactions in the network were formulated based on the standardized steps presented in The following equation describes the population of bacteria -inflammatory blood cytokines are also nonlinearly mapped from a higher-level state variable, which represents the systemic damage abstractly.The hypothetic mechanisms of action of the blood purification was implemented by assuming the HA device eliminates only three components in the circulation: activated neutrophils . All other algorithms used for this work were implemented in the MATLAB version 7.10.0.499 (The MathWorks). The source code used in generating results is available at http://code.google.com/p/source-code-sepsis-model/.The numerical integration of the systems of ODEs described above was implemented by using the SUNDIALS package (stiff directions in the parameter space can be identified by the principal component analysis of the Hessian matrix The The inverse of the correlation matrix can also be used to extract valuable information in multivariate data"}
+{"text": "Survival rates following traumatic cardiac arrest (TCA) are known to be poor but resuscitation is not universally futile . There aA suggested algorithm for TCA was developed based on the Greater Sydney Area Helicopter Emergency Medical Service's standard operating procedures and current available evidence.2 <1.3 kPa carries a grave prognosis in TCA. Given the high incidence of hypovolaemia, hypoxia and obstructive shock prior to TCA, the role of adrenaline and chest compressions are limited. Figure An algorithm for the general management of TCA can be seen in Figure The suggested algorithm is designed for a highly trained physician-led prehospital team and aims to maximise the number of neurologically intact survivors in out-of-hospital TCA."}
+{"text": "The chest X-ray lung cancer screening program of Mayo Lung Project (MLP) yielded mixed results of improved lung case survival but no improvement in lung cancer mortality. This paper analyzes the smoking patterns of study participants in order to examine possible behavioral ramifications of periodic lung cancer screening. Using a longitudinal difference-of-difference model, we compared the smoking behavior, in terms of current smoker status among all subjects and the intensity of smoking among those continuing smokers, between those who received periodic lung cancer screening and those who received usual-care. In both arms of this lung cancer screening trial, there was a sizable decline in cigarette smoking one year after participants received baseline prevalence screening. There was no significant difference in current smoker status between the intervention group receiving periodic X-ray screening and the control group receiving usual care. While we detect that the continuing smokers in the intervention group smoked more than their counterparts in the control group, the magnitude of the difference is not sufficient to explain a substantial difference in lung cancer incidence between the two groups. Our study shows that periodic lung screening in MLP did not decrease smoking behavior beyond the observed decline following the initial prevalence screening conducted at baseline for both the intervention and control groups. Our results also indicate, paradoxically, that participants assigned to the intervention group smoked more cigarettes per day on average than those in the control group. Lung cancer screening programs need additional cessation components to sustain the abstinence effect typically observed following initial lung screening. The Mayo Lung Project (MLP) was a clinical trial conducted between 1971 and 1983. It involved random assignment of male smokers to either a periodic (every 4-6 months) chest X-ray lung cancer screening program versus a usual care program that included the \"treatment as usual\" (TAU) recommendation to be screened yearly. The two trial arms then went through a prevalence screening, where 9,211 subjects were diagnosed as cancer-free and thus eligible for staying in the study. Those in the intervention arm then received periodic chest roentgenograms and three-day \"pooled\" sputum cytology studies thrice a year while lung-health questionnaires were delivered to both arms of the trial. The MLP results were mixed inasmuch as participants in the periodic screening program demonstrated longer case survival but worse lung cancer mortality as compared with those in the usual care program [Surprisingly, no attention has been paid to the smoking behavior of MLP participants, even though smoking status has been shown to be the most important predictor of lung cancer incidence and survival. This study examines the interaction between periodic lung cancer screening and smoking behavior reported in the MLP in order to better understand the behavioral contributors to observed outcomes.It is well established that smoking cessation could significantly reduce smokers' lung cancer mortality . FurtherThe MLP tracked smoking behavior at baseline and then annually for six years . We adopWe first compared smoking behavior at baseline and the first-year follow-up, and in both trial arms we found a dramatic increase in smoking abstinence and a large decrease in number of cigarettes smoked per day. Of the 9,211 smokers enrolled in MLP, 690 quit smoking in the screening intervention group and 692 quit in the control group. On average, participants in the screening intervention group cut down on their daily smoking by 5.69 cigarettes (p < 0.001) while the control group decreased by 5.71 cigarettes (p < .001). In all, approximately 42% of participants in both groups reported a decrease in the number of cigarettes consumed. In the sixth year since MLP's baseline screening, 53.6% of the participants in the intervention arm and 57.0% of participants in the control arm reported a reduction of the number of cigarettes smoked per day compared to their baseline smoking intensity.Results from the mixed model indicated that the screening intervention had no significant impact on current smoker status when compared to the control group, and that smoking intensity declined less in the intervention group than in the control group Table . OverallAmong the many studies that have analyzed the MLP data, this study is the first to look at the smoking behavior of the participants. The finding here that smokers in the intervention arm smoked more than those in the control group does not necessarily constitute an argument against lung cancer screening. First, it is not plausible that a difference of one or two cigarettes a day could lead to significantly different health conditions among continuing smokers, and in our study no between-group differences were noted in rates of abstinence. Secondly, we did observe a sizable decline in smoking among all participants after the prevalence lung cancer screening was administered to both groups at baseline. Since it was then that some prevention counseling was given to participants, given what we know about the strong proven effect of counseling on smoking cessation , this laFrom the viewpoint of \"risk compensation\" (whereby people adjust their risk behavior to adapt for the changed risk), it is not surprising to see that smokers in the intervention group smoked more cigarettes per day than those in the control group. The human phenomena of behaviorally offsetting exogenous risk modification has been noted and interpreted in different disciplines like economics, psychology and risk analysis -22, inclThe authors declare that they have no competing interests.LS conceived the topic, performed the analysis and drafted the manuscript. MI provided improvement suggestions. All authors read and approved the final manuscript."}
+{"text": "Efforts to develop genetic marker based approaches to breeding forest trees began in the late 1980s. Approaches based on first generation of markers, allozymes, were not feasible due to the very limited number of markers (<50). The first DNA-based markers, RFLPs, brought more hope as moderately dense genetic maps could be constructed to scan the genome and map quantitative trait loci (QTLs). This approach was quite effective toward mapping QTLs in many forest tree species but the approach could not be brought to application in tree breeding due to low levels of linkage disequilibrium (LD) in forest tree breeding populations and recombination between flanking markers and QTLs with each generation. The next generation of DNA markers based of the polymerase chain reaction (PCR), RAPD, AFLP and SSR, did not solve the LD and recombination problem, even though more markers were available and throughput increased.The situation began to change in the early 2000s with the availability of automated DNA sequencing technology and single nucleotide polymorphism (SNP) genetic markers. Now association studies could be performed where SNPs within candidate genes controlling complex traits could be identified and thus \u201csolving\u201d or minimizing the LD and recombination limitation. This approach to complex trait dissection has been widely applied in forest trees and the early approach of QTL mapping in segregating populations has been mostly abandoned. The association genetic approach has been used to find candidate gene SNPs associated to a broad array of quantitative traits of interest . However, like QTL mapping before, individual SNP x trait associations only account for a small proportion of the variation and the total variation explained by all markers is generally less than 50%. In human genetics, this situation is called the \u201cmissing heritability\u201d and there has been great debate over whether this problem can ever be solved in complex trait dissection in humans. In a few agricultural systems however, notably dairy cattle, researchers are now accounting for nearly all the heritable variation.Efforts to realize genomics-based breeding in conifer tree improvement in the US have culminated under a collaborative research project funded by the USDA. The Conifer Translational Genomics Network Coordinated Agricultural Project (CTGN CAP) has successfully brought genomics-based breeding to application in the four major cooperative forest tree breeding programs in the US. The project has completed the basic research on allele discovery of economic traits in conifers, conducted the translational research, and provided education and training to tree breeders to realize this goal during the four-year project period (2007 to 2011). Genomics-based breeding can now be applied to the production of over 1.3 billion loblolly pine, slash pine and Douglas-fir seedlings planted annually in the US.The CTGN CAP obtained high-density single nucleotide polymorphic (SNP) genotypes (over 7000 SNPs) on nearly 10,000 loblolly pine, slash pine, and Douglas-fir trees from the breeding cooperatives. These data were used to estimate molecular breeding values that can now be used to make selections as an alternative to breeding values based on mature traits that can take many years to the time of evaluation and can be expensive to measure in field tests. The CTGN CAP was the first to apply the advanced Illumina Infininium SNP-genotyping technology that is now being used in the breeding of most major crops such as corn, wheat, tomato, potato, and many more.The CTGN CAP culminates a long-term investment by the USDA in this team of researchers and their work on the technological advancement of tree breeding in the US. USDA\u2019s efforts began more than 20 years ago with funding of a series of grants under the National Research Initiative Plant Genome Program and continued under the CSREES IFAFS and AFRI programs. Recently, NIFA has awarded a grant to members of this team to conduct full genome sequencing in loblolly pine, sugar pine, and Douglas-fir. The full genome sequence will soon allow tree breeders to practice genomics-based breeding using genetic variation from the entire genome (genomic selection), and thus minimizing or even eliminating the missing heritability problem in forest trees. The partnership between USDA research programs and this team of researchers has resulted in a modernization of tree breeding technology in the US that will secure US competitiveness in the production of forest products."}
+{"text": "Interaural level difference (ILD) is the difference in sound pressure level (SPL) between the two ears and is one of the key physical cues used by the auditory system in sound localization. Our current understanding of ILD encoding has come primarily from invasive studies of individual structures, which have implicated subcortical structures such as the cochlear nucleus (CN), superior olivary complex (SOC), lateral lemniscus (LL), and inferior colliculus (IC). Noninvasive brain imaging enables studying ILD processing in multiple structures simultaneously.In this study, blood oxygenation level-dependent (BOLD) functional magnetic resonance imaging (fMRI) is used for the first time to measure changes in the hemodynamic responses in the adult Sprague-Dawley rat subcortex during binaural stimulation with different ILDs.Consistent responses are observed in the CN, SOC, LL, and IC in both hemispheres. Voxel-by-voxel analysis of the change of the response amplitude with ILD indicates statistically significant ILD dependence in dorsal LL, IC, and a region containing parts of the SOC and LL. For all three regions, the larger amplitude response is located in the hemisphere contralateral from the higher SPL stimulus. These findings are supported by region of interest analysis. fMRI shows that ILD dependence occurs in both hemispheres and multiple subcortical levels of the auditory system. This study is the first step towards future studies examining subcortical binaural processing and sound localization in animal models of hearing. The ability to accurately determine the location of an object, such as a predator or prey, is critical to the survival and prosperity of humans and animals. One of the most important contributors to our ability to localize objects is the sound localization capabilities of the auditory system. Sound localization is of primary importance in situations where visual information is limited or not available, such as when the object is outside of the field of view or during darkness. The mammalian auditory system relies on monaural and binaural cues to determine the location of a sound emitting object Much of our understanding of the neural mechanisms behind sound localization has come from psychophysical and lesioning studies. Studies on human subjects show that our ability to resolve the direction of high frequency sounds depends on ILD In contrast, functional magnetic resonance imaging (fMRI) is the leading noninvasive functional imaging technique fMRI studies of ILD processing have focused on the role of cortical structures although earlier studies suggest subcortical structures have an important role. Subcortical fMRI of humans In this study, we apply BOLD fMRI to study ILD processing in the rat, an animal with more sensitive hearing than humans at high frequencies This study was carried out in strict accordance with the recommendations in the Guidelines for the use of Experimental Animals of the University of Hong Kong. All animal experiments were approved by the Committee on the Use of Live Animals in Teaching and Research of the University of Hong Kong (protocol number 2041\u201309). All experiments were performed under isoflurane anesthesia and all efforts were made to minimize suffering.Normal male Sprague-Dawley rats were prepared as in our earlier rat fMRI studies Broadband sound was produced using ultrasonic loudspeakers , driven by waveform generators , and delivered to both ears via custom sound tubes A standard block-design stimulation paradigm, similar to that used in our earlier studies 2, matrix \u200a=\u200a64\u00d764, and six 1 mm thick slices along the coronal view with 0.2 mm gaps. A spin-echo sequence was chosen instead of a gradient-echo sequence to reduce image distortion in the ventral brain where numerous subcortical auditory structures are located. The localization of the middle four slices is shown in All fMRI experiments were performed in a 7T small bore MRI scanner with a receive-only quadrature surface coil placed over the dorsal side of the head. Scout images were first acquired to determine the orientation of the brain relative to the scanner and to determine the coronal view. Spin-echo echo planar imaging images were acquired with TR \u200a=\u200a2000 ms, TE \u200a=\u200a43 ms, field of view \u200a=\u200a32\u00d732 mmThe 140 images from each experiment were first realigned to the mean image of the first experiment using SPM8 . Images were then smoothed in-plane with a low pass filter with full width at half maximum of one voxel. The first and last slices were subsequently discarded to avoid truncation artifacts caused by image registration and the remaining slices were numbered one to four. Brain regions activated by auditory stimulation were identified on a voxel-by-voxel basis using standard period cross correlation analysis, which had been applied in recent rat fMRI studies Voxel-by-voxel computation of the BOLD signal ratios was performed as follows. Each fMRI image was first flipped horizontally and registered to the original image. BOLD signal maps were then computed for the original and flipped images. Each original signal map was divided by its flipped counterpart to obtain the BOLD signal ratio map. There was one ratio map for each ILD. Linear regression was performed on each voxel of the seven ratio maps to obtain a map of the slope of signal ratio vs. ILD . Positive slope indicated the signal was greater at positive ILDs or when left ear SPL was greater than right ear SPL. Similarly, negative slope indicated the signal was greater at negative ILDs.Regions of interest (ROIs) were also drawn around the cochlear nucleus, superior olivary complex/lateral lemniscus (a group of voxels that borders the SOC and LL), dorsal lateral lemniscus, and inferior colliculus in each hemisphere using the rat brain atlas The broadband sound stimulus presented to both ears activates auditory structures in both hemispheres. The symmetry of the activation patterns changes with ILD. ILD dependence is quantified by the BOLD signal ratio slope map shown in To complement the above voxel-by-voxel analysis, Consistent activation is observed with BOLD fMRI in the cochlear nucleus (CN), superior olivary complex (SOC), lateral lemniscus, and inferior colliculus (IC) of both hemispheres during binaural stimulation. There are no statistically significant interhemispheric differences observed in the responses of the CN, SOC, dorsal lateral lemniscus (DLL), ventral and intermediate lateral lemnisci (VLL), and IC at ILD \u200a=\u200a0dB. Voxel-by-voxel and ROI analyses indicate statistically significant (p<0.05) interaural level difference dependence in the SOC/LL , DLL, and IC with the larger BOLD signals located in the hemisphere contralateral from the ear receiving higher sound pressure level (SPL) stimulus.Invasive electrical recordings have been used to examine ILD encoding at the neuronal level in various auditory structures. Starting in the brainstem, the SOC receives ascending inputs from both ears. The neurons of the medial nucleus of the trapezoid body (MNTB) in the SOC receive inputs from the contralateral CN and relay them to the lateral superior olive (LSO), another SOC nucleus Neurons in the lateral lemniscus, the next structure along the ascending auditory pathway, receive inputs from both hemispheres of the SOC and the contralateral CN. The majority of DLL neurons fire at a higher rate when the SPL in the contralateral ear is increased relative to that in the ipsilateral ear Auditory cortex neurons express a diversity of ILD dependences Noninvasive fMRI is well suited for system level studies of ILD processing while electrical recordings are well suited for neuronal level studies. fMRI has been used to study auditory motion processing and sound localization using ILD cues in human subjects Auditory fMRI studies have recently begun to use rats as subjects. Initial studies observed that the structures of the ascending auditory pathway with detectible BOLD responses included the CN, SOC, LL, IC, medial geniculate body, and auditory cortex Neurons in the auditory system can be divided into two main classes, monotonic or non-monotonic. Monotonic neurons have sigmoidal plots of firing rate with SPL and non-monotonic neurons have maximum firing rate at a SPL The BOLD signal ratio slope in the cochlear nerve (CoN) in The ROI analysis used in Animals were permitted to breath spontaneously in this study, as in our earlier rat fMRI studies The responses of auditory neurons to binaural stimulation may depend on the average binaural level, the average of the SPL in the two ears, in addition to the ILD This study used continuous imaging, which was successfully employed in our earlier rat auditory fMRI study In this study, we performed fMRI using binaural stimulation with broadband sound to measure changes in the BOLD signal in both hemispheres and multiple structures of the rat subcortex during different ILDs. Consistent hemodynamic responses are observed in the cochlear nucleus, superior olivary complex (SOC), dorsal lateral lemniscus (DLL), ventral and intermediate lateral lemnisci, and inferior colliculus (IC). Voxel-by-voxel and ROI analyses indicate statistically significant (p<0.05) ILD dependence in the SOC/LL , DLL, and IC with the larger signal located in the hemisphere contralateral from the higher SPL stimulus. These results are in close agreement with those of electrical recording studies and suggest that rat fMRI studies of the subcortical processing of other sound localization cues such as interaural time differences and spectral differences are also possible. This study has shown that ILD processing occurs in both hemispheres and multiple subcortical levels of the auditory system and lays the ground work for studying sound localization mechanisms in animal models of hearing.Figure S1fMRI slice localization. fMRI slice localization overlaid on a sagittal scout image acquired at the midline of the brain. The four 1.0 mm thick fMRI slices , indicated by parallel solid lines and labeled 1 to 4, are oriented orthogonal to the sagittal plane as shown. The interslice gap is 0.2 mm. The locations of the inferior colliculus (IC) and thalamus at midline are indicated. The anterior, posterior, dorsal, and ventral sides of the brain are also indicated.(TIF)Click here for additional data file.Figure S2fMRI time courses. fMRI time courses measured from the cochlear nucleus (CN), SOC/LL, dorsal lateral lemniscus (DLL), and IC. SOC/LL refers to a group of voxels that covers parts of the superior olivary complex and lateral lemniscus. Regions of interest were those defined in (TIF)Click here for additional data file."}
+{"text": "Ateles geoffroyi) across five long-term field sites in Central America using a well established ethnographic cross-site survey method. Spider monkeys possess a relatively rare social system with a high degree of fission-fusion dynamics, also typical of chimpanzees (Pan troglodytes) and humans (Homo sapiens). From the initial 62 behaviors surveyed 65% failed to meet the necessary criteria for traditions. The remaining 22 behaviors showed cross-site variation in occurrence ranging from absent through to customary, representing to our knowledge, the first documented cases of traditions in this taxon and only the second case of multiple traditions in a New World monkey species. Of the 22 behavioral variants recorded across all sites, on average 57% occurred in the social domain, 19% in food-related domains and 24% in other domains. This social bias contrasts with the food-related bias reported in great ape cross-site comparison studies and has implications for the evolution of human culture. No pattern of geographical radiation was found in relation to distance across sites. Our findings promote A. geoffroyi as a model species to investigate traditions with field and captive based experiments and emphasize the importance of the social domain for the study of animal traditions.Cross-site comparison studies of behavioral variation can provide evidence for traditions in wild species once ecological and genetic factors are excluded as causes for cross-site differences. These studies ensure behavior variants are considered within the context of a species' ecology and evolutionary adaptations. We examined wide-scale geographic variation in the behavior of spider monkeys ( Traditions in wild populations are defined as \u201cenduring behavior patterns shared among members of a group that depend to a measurable degree on social contributions to individual learning, resulting in shared practices among members of a group\u201d Ateles spp.) are well suited for a study of traditions because they possess several characteristics thought to promote social learning. Firstly, infants and juveniles are slow to develop compared to monkeys of a similar size and lifespan Pan troglodytes), bonobos (P. paniscus) and humans (Homo sapiens) A. geoffroyi comprises a number of gestures including embracing and pectoral sniffing, that likely function as greetings Spider monkeys (Cebus capucinus), documenting variation in behaviors involving extractive foraging and tool-use has been a main focus of previous cross-site primate studies With the exception of Perry et al. 's sensu McGrew Ateles with the skills needed for their highly arboreal lifestyle and specialized locomotion Of the three features that are fundamental for material culture (Scaptotrigona spp.) eating Ateles behavioral repertoire, but offer no indication that these behaviors are either learned socially or, in the case of tool-use, are being successfully transmitted between individuals. The aim of our study was to provide the first systematic evidence for traditions in spider monkeys, using a large sample of candidate behaviors across five distantly located populations of the same species with special emphasis on the domains in which the traditions occur. The similarity of their social system with that of humans To our knowledge, no systematic study of traditions across different populations of spider monkeys has been carried out, although several publications suggest potential behaviors that could show inter-community variation and patterns of transmission via social learning, including meliponid bee study sites further highlights species differences in the distribution of traditions across domains. The mean percentage of traditions in the social domain across the nine chimpanzee study sites and across the six orangutan study sites was 42% and 34% respectively, which is lower than the mean value across the five spider monkey sites \u200a=\u200a0.04, p\u200a=\u200a0.914], or the number of absent behaviors shared between each pair of sites , killer whales (Orcinus orca) and guppies (Poecilia reticulata)We documented behavioral variation across five populations of spider monkeys providing evidence for traditions, which is relevant for a better understanding of human cultural evolution A larger proportion of the 22 identified traditions belonged to the social domain. This may partially be a reflection of the species' behavioral repertoire, which includes a large number of social behaviors Watson and Caldwell Ficus root\u2019 performed by multiple individuals only in the Santa Rosa community, the selection for community identity through this marking variant may have led to a form of ritual, where most subgroup members are simultaneously involved. There was variation in the percentage of traditions in the social domain (43\u201367%) across the five study sites. Higher variation (0\u201364%) occurred across chimpanzee communities. It would be interesting to assess whether such variation is associated with variation in the degree of fission-fusion dynamics across populations. Additionally, a within-population examination of behavioral variation, where genetic and ecological differences between communities are likely to be negligible, would provide more detailed evidence for such social learning opportunities and potential traditions .Social behaviors have, by their very nature, a shared and often public quality, which is not necessarily the case for food-related or other subsistence-based behaviors as they are not reliant on the presence of at least one other individual to be performed The community identity hypothesis to partially explain the bias of traditions toward the social domain in spider monkeys does not however account for the large number of greeting behaviors that did not meet the criteria for traditions and were listed as \u2018universal\u2019. It is noteworthy that several of these greeting variants may involve high risk, such as embraces and pectoral sniffs, which involve close body-contact and leave the recipient vulnerable to bites Ateles species, A. geoffroyiGenetic variation across the site populations invariably exists. Whilst it is impossible to eliminate genetic variation in wild populations, it was minimized in this study by only examining individuals of one of the four Chlorocebus aethiops), individuals of the philopatric sex are preferred demonstrators of behavior than individuals of the migrating sex, and as a result of this selection highly localized traditions can emerge The geographic distribution of traditions may reflect patterns of innovation, diffusion and transmission, which can be affected by factors such as the dispersal of individuals between communities and restrictions imposed by geographical features Phoradendron leaf or rock feeding conveys a selective advantage for spider monkeys in communities where it is practiced over individuals in communities where it is not practiced. The consumption of the widely available Enterolobium cyclocarpum fruit by individuals only in Corcovado and Punta Laguna suggests another example of a feeding variant which conveys nutritional advantages for individuals that feed upon it over individuals that do not, although, it is always possible that other communities compensate by eating another food resource Whiten Enterolobium cyclocarpum can be unpredictable Site specific consumption of widely available food resources illustrates how ecological conditions may impact to promote or hinder innovation, or the subsequent maintenance of socially transmitted behaviors. Opportunities to innovate may be influenced by the accessibility of associated substrates or social resources which may be seasonal, rare or highly unpredictable in their availability In other species, captive and field based experiments have been instrumental in complementing findings from cross-site comparison studies and are invaluable for exploring social learning mechanisms and transmission processes The study was carried out in the field with free-ranging monkeys and was completely observational. Research was conducted at all times in accordance with the laws of participating countries. Approval and permission to conduct research was granted by the University of California IACUC committee, the Animal Studies Committee of Washington University # 20020071, the University of Chester Psychology Department Ethics Committee and approved by the University of Chester Animal Ethics Committee, the Animal Care Certification in compliance with the Canadian Council on Animal Care, the Costa Rica Ministry of Environment and Energy (MINAE) permit #s 418-2001-OFAU, 226-2002-OFAU and ACG-PL-030-2006, the Belize Forest Department permit # CD/60/3/09(05) and the Mexican government under the auspices of Pronatura, Peninsula de Yucatan, A.C. (PPY) # 1577105.A. geoffroyi was carried out were considered in our study, in order to minimize genetic influences on any behavioral variations observed. Five sites were selected for the study . Then, the list was reviewed by researchers at all participating field sites and care was taken to ensure researchers accurately identified behaviors across sites. This was achieved using detailed descriptions, photographs and video clips to clarify behaviors nuances. Based on the joint feedback, additions or consolidations of behaviors were made, leading to a final list of 62 behaviors ; and unknown - insufficient opportunity to observe a behavior to reliably know if it was present or absent. This last category was especially relevant for behaviors that require rare conditions or might be less likely to occur in the presence of observers, despite habituation.The survey consisted of two phases. Phase I required researchers to document the presence or absence of each of the 62 behaviors at their field site. Categories based on the following definitions were used: customary - behavior occurs in all or most able-bodied members of at least one age-sex class ; habitual - behavior is not customary but has occurred repeatedly in several individuals, consistent with some degree of social transmission; and present - behavior is neither customary nor habitual, but is performed multiple times by at least two individuals. Thus, in phase II performance of a behavior by only one individual at one site was classified as \u2018absent\u2019. A behavior variant was considered to be a tradition when it occurred at a habitual or customary level in at least one site while being absent in at least one other site without an ecological explanation Phase II required researchers to classify each observed behavior at their field site using one of the categories based on the following definitions derived from Whiten et al. Pearson correlations between the number of shared customary/habitual or absent behaviors and the distance between each pair of sites were run using SPSS v.15.0.Figure S1Ateles geoffroyi hand showing dramatic reduction in pollex (Photograph by Claire J. Santorelli). Photograph illustrates area of reduced pollex on the left hand.(TIF)Click here for additional data file.Figure S2Map of Central America showing locations of the five field sites participating in the study. Arrows illustrate location of participating field sites within their host country.(TIF)Click here for additional data file.Table S1Definitions and domains of the 62 behaviors considered in the study.(DOC)Click here for additional data file.Table S2Prevalence of behavior variants across study sites.(DOC)Click here for additional data file.Table S3Distance (kilometers) between sites .(DOC)Click here for additional data file.Table S4Site information.(DOC)Click here for additional data file."}
+{"text": "In this study, we have used equilibium contrast CMR (EQ-CMR) to assess the interstium volume of patients after atrial redirection surgery, finding higher amounts than in healthy volunteers and correlations with known clinical markers of disease.After atrial redirection surgery (the Mustard and Senning operations) for transposition of the great arteries (TGA) the systemic right ventricle (RV) suffers from late systolic failure with resultant high morbidity and mortality. The mechanisms of late systemic RV failure are poorly characterised. We hypothesised that diffuse interstitial expansion representing diffuse fibrosis would be greater in the right ventricles of patients following Mustard or Senning surgery and that it would be associated with other markers of heart failure and disease severity in these patients.We used Equilibrium Contrast CMR to quantify interstitial expansion,Vd(m), in the septum and RV free wall of 14 consecutive adults presenting to a tertiary specialist clinic late after palliative surgery for TGA ). These were compared to an equal number of age and sex matched healthy volunteers from a denominator normal population of 86. Patients were also assessed with a standardised CMR protocol, NT-proBNP and cardiopulmonary exercise (CPEX) testing.Mean septal Vd(m) was significantly higher in the patients than in the control population . NT-proBNP was positively related to septal Vd(m) was difficult to measure with high and poor inter-observer reproducibility such that this analysis was abandoned.In this small preliminary study, septal interstitial expansion is seen in adults late after atrial redirection surgery for TGA. It correlates well with NT-proBNP and chronotropic incompetence and may have a role in the development of RV systolic impairment. Measuring interstitial expansion in the RV free wall is difficult using this methodology.British Heart Foundation."}
+{"text": "Differential expression analysis of digital gene expression data involves performing a large number of hypothesis tests that compare the expression count data of each gene or transcript across two or more biological conditions. The assumptions of any specific hypothesis-testing method will probably not be valid for each of a very large number of genes. Thus, computational evaluation of assumptions should be incorporated into the analysis to select an appropriate hypothesis-testing method for each gene.Here, we generalize earlier work to introduce two novel procedures that use estimates of the empirical Bayesian probability (EBP) of overdispersion to select or combine results of a standard Poisson likelihood ratio test and a quasi-likelihood test for each gene. These EBP-based procedures simultaneously evaluate the Poisson-distribution assumption and account for multiple testing. With adequate power to detect overdispersion, the new procedures select the standard likelihood test for each gene with Poisson-distributed counts and the quasi-likelihood test for each gene with overdispersed counts.The new procedures outperformed previously published methods in many simulation studies. We also present a real-data analysis example and discuss how the framework used to develop the new procedures may be generalized to further enhance performance."}
+{"text": "The title of the Symposium was \u201cEnvironmental Contaminants and Animal Health\u201d and the focus was on the insidious health risks posed to both humans and animals (wild & domestic) by the often ubiquitous synthetic and biological environmental chemicals. The scientific programme consisted of five overview-type keynote speeches along with a total of twelve invited talks on specific topics. The presentations addressed the \u201cclassical\u201d but still today highly pertinent environmental toxicants such as dioxins, PCBs and other persistent organic compounds; emerging contaminants such as diverse endocrine disruptors; biological toxins such as mycotoxins; and up-to-date biological assay methodologies available for detection and quantification of these environmental hazards. This special issue of Acta Veterinaria Scandinavica contains abstracts or full-length papers of the presentations given in the Symposium. The interested reader should notice that even for most of those presentations of which only the abstract is included here, the original slides (in pdf-format) can be found at the NKVet web site (http://www.nkvet.org/index.php?id=11).The 26"}
+{"text": "Dictyostelium, enables the rapid ablation or over-expression of genes, and the subsequent use of isogenic cell culture for the analysis of cell signalling pathways in pharmacological research. The model also supports an increasingly important ethical view of research, involving the reduction, replacement and refinement of animals in biomedical research. This review outlines the use of Dictyostelium in understanding the pharmacological action of two commonly used bipolar disorder treatments . Both of these compounds regulate mitogen activated protein (MAP) kinase and inositol phospholipid-based signalling by unknown means. Analysis of the molecular pathways targeted by these drugs in Dictyostelium and translation of discoveries to animal systems has helped to further understand the molecular mechanisms of these bipolar disorder treatments.Understanding the mechanisms of drug action has been the primary focus for pharmacological researchers, traditionally using rodent models. However, non-sentient model systems are now increasingly being used as an alternative approach to better understand drug action or targets. One of these model systems, the social amoeba The following review will introduce bipolar disorder and Dictyostelium as a biomedical model. The review will then focus on two of the most widely used bipolar disorder treatments \u2013 valproic acid (VPA) and lithium \u2013 by firstly outlining current knowledge of cell signalling pathways regulated by each treatment, and then illustrating the use of Dictyostelium to enhance our understanding of putative bipolar disorder-dependent cell signalling changes in both pathways.Bipolar disorder, a neurological condition that causes cyclic variation in mood, gives rise to a devastating effect on quality of life and significantly increases the chance of suicide 2Bipolar disorder is a neurological condition giving rise to cyclic and extreme changes in mood. The two most widely occurring types of bipolar disorder are characterised by slightly different re-occurring states: type 1 describes recurrent mood swings from depression to mania, whilst type 2 describes recurrent mood swings from depression to euthymic (stabilised mood) behaviour or mild forms of mania Current treatments for bipolar disorder include lithium, anticonvulsant drugs , valproic acid (Depakote), gabapentin (Neurontin) and lamotrigine , antidepressants such as bupropion (Wellbutrin) or sertraline (Zoloft), neuroleptics and benzodiazepines (e.g. lorazepam). These treatments require continuous long-term use and are thus non-curative. A decision on which treatment to use is normally based on individual symptoms. Poor response rates to drug treatment occur in approximately 35\u201350% of patients, with significant side effects that often lead to non-adherence \u2022Genetics: Identifying the genetic basis of bipolar disorder is likely to provide the ultimate origin of the condition and is thus a fundamentally important approach. There is clear evidence that the occurrence of bipolar disorder has a strong genetic component \u2022Biochemistry: Understanding physical changes in individuals with bipolar disorder may provide an avenue to identify the molecular basis of the condition. For example, recent studies have shown bipolar disorder-dependent changes in brain volume \u2022Pharmacology: The identification and characterisation of changes in cell signalling caused by bipolar disorder treatments may both identify the molecular mechanism causing bipolar disorder, and enable the development of more efficacious treatments or treatments with reduced side effects. The vast array of genetic risk factors associated with bipolar disorder occurrence is expected to give rise to changes in only a limited number of signalling pathways that are then controlled by a small number of current bipolar disorder treatments. Thus understanding bipolar disorder-associated signalling pathways may help the treatment of patients with a wide array of causative factors. However, this approach is also complex since bipolar disorder treatments have numerous effects and/or targets, and the primary sites of action are often unknown. The majority of research into the molecular basis of bipolar disorder treatments has centred on valproic acid (VPA) and lithium.Research into bipolar disorder remains a hugely complex undertaking. This is primarily since there are no well accepted models for the condition 3Dictyostelium discoideum is one of these models listed as one of ten non-mammalian biomedical models recognised by the US National Institutes of Health (NIH). Dictyostelium is more complex than other models listed such as Sacchromycies cerevisiae (baker's yeast), Schizosaccharomyces pombe (fission yeast) or Neurospora crassa (filamentous fungus) since Dictyostelium cells undergo chemotactic and random movement. It also has rudimentary development mechanisms and related signalling pathways. On the other hand, Dictyostelium is simpler than other models listed such as Caenorhabditis elegans (round worm) and Drosophila melanogaster (fruit fly), Danio rerio (zebrafish), and Xenopus tropicalis (frog) since it lacks the much more complex developmental processes involved in the formation of these animals and lacks their basic neurological networks. Dictyostelium has evolved a strong niche for studies into cell movement and development The use of invertebrate, non-sentient model organisms can facilitate our understanding of the mechanism of drug action on cellular level whilst reducing the use of animals in research. Dictyostelium can be cultured by either growth in nutrient rich media (ingesting media via macropinocytosis) or in association with bacteria as a food source , and will continue to divide by binary fission until food or nutrients are depleted. Thus, in the presence of sufficient nutrients, large quantities of isogenic cells can be cultured and used for biochemical or cell signalling studies and aggregation of \u223c100 000 cells to a single point, followed by a primitive developmental process leading to the formation of distinct cell types in a mature fruiting body ( studies . Dictyosing body . This deDictyostelium has been fully sequenced Dictyostelium genome include a high AT/GC ratio (86:14) and an average open reading frame of 1756\u00a0bp with 1.9 introns per gene. Thus, Dictyostelium provides a simple model system that is well-characterised at a genetic level.The haploid genome of this Dictyostelium as a pharmacological and pharmacogenetic molecular model for VPA and lithium was initially based upon the observation that both drugs block development, thus enabling a range of studies to understand their mechanism(s) of action , that was accidently discovered to function in seizure control in the early 1960s de novo inositol synthesis 3) Not surprisingly, this gamut of therapeutic roles for VPA has been associated with a variety of cellular mechanisms. These range from increasing gamma aminobutaric (GABA) levels 5The mechanism of action for lithium has been of considerable interest since its re-discovery as a bipolar disorder treatment by Cade Despite the simple nature of this molecule (the third element on the periodic table), it still remains unclear how lithium functions in its therapeutic action. However, it has been widely shown to regulate four signalling pathways potentially associated with bipolar disorder: the inhibition of the enzyme glycogen synthase kinase (GSK3) A pharmacological approach to understand how VPA and lithium regulate cell signalling therefore requires the understanding of how these various pathways are modulated, and what genes and pathways are responsible for these drug effects. Here we will focus on the regulation of the MAP Kinase pathway and the inositol and phosphoinositol-dependent pathways.6Bipolar disorder has been associated with changes in neurotrophic signalling cascades, neuronal cellular atrophy and regional reductions in brain volume Lithium and VPA treatment have been shown to reverse or attenuate brain structural changes found in bipolar disorder Dictyostelium has shown that both VPA and lithium also up-regulate the activation of the MAPK pathway 3 production . However, a range of experiments suggested that VPA may function through blocking de-phosphorylation of pERK2 shows improved efficacy in seizure control Dictyostelium induced a common change in mammalian neurons, and that this change could be reversed by the addition of exogenous inositol or by inhibition of PO activity , responsible for breakdown of InsP4\u20136, resulted in reduced InsP3 levels, whereas MIPP over-expressing cell extracts had an enhanced activity compared to wild type controls. MIPP activity was necessary for PO-inhibition dependent inositol phosphate regulation both in chemotaxis and in the production of InsP3. These data clearly establish PO as the regulator of MIPP activity. However, surprisingly, over-expression of MIPP gave a lithium hyper-sensitive phenotype.The mechanism of lithium-dependent inositol phosphate regulation has recently been further characterised in de novo synthesis of inositol. The increase in gene expression was also observed following both genetic and pharmacological inhibition of PO activity. However in all cases, this increased expression was dependent upon the presence of MIPP activity and was also induced by over-expression of the kinases responsible for the production of InsP4\u20136 from InsP3. Thus this work identified a gene regulatory mechanism where the activation or over-expression of MIPP leads to elevated expression of a range of inositol regulation genes in Dictyostelium. The results were then successfully translated to human cells (HEK293) to demonstrate that PO inhibition also up-regulates several IMPase genes and that this elevation is dependent on MIPP activity. It is of interest that IMPase polymorphisms have been associated with risk of bipolar disorder in family studies The origin of lithium hyper-sensitivity in cells over-expressing MIPP was found to be due to the elevated expression of a range of genes related to inositol signalling DictyosteliumDictyostelium cell movement, we investigated the role of phosphoinositide signalling as a target for VPA action Dictyostelium employed cells transformed with a PIP3 binding protein (PHcrac-GFP) enabling the time- and location-dependent monitoring of PIP3 production. VPA produced an acute (10\u00a0min) reduction in PIP3 production, also shown by reduced PIP2 and PIP levels using in vivo radio-labelling experiments P3). This data, for the first time, implicated phosphoinositide signalling as a potential target for bipolar disorder treatments. Considerable evidence suggests that elevated phosphoinositol signalling may be an underlying cause of bipolar disorder since a variety of studies have identified this effect in bipolar disorder drug-free patients A new mechanism of action for bipolar disorder drugs has been recently proposed based upon work in eriments , creatinDictyostelium has now extended the observation that bipolar disorder-treatment attenuates phosphoinositide-mediated signalling Dictyostelium cell line lacking all five PI3K genes 3, was also decreased following lithium treatment compared to untreated cells. Furthermore, these effects also occurred in conjunction with a decrease in the rate of PIP and PIP2 synthesis, although no changes in steady-state concentration of PIP2 levels were detected. This may be due to a small rapidly turned over pool of PIP2 that is quickly metabolised during chemostaxis providing a lithium sensitive target. Since the mechanism for inositol signalling attenuation by lithium is known to function through the uncompetitive inhibition of IMPase and IPPase 2 synthesis and PkbA phosphorylation. The results were then successfully reproduced in a human neutrophil cell line (HL60) where the translocation of a PIP3-binding GFP construct to cell membranes (as a readout for PIP3 production) was reduced following lithium treatment. Based on these studies in Dictyostelium investigating both VPA and lithium mechanisms of action, we can now propose a new extension of the current of inositol depletion hypothesis, whereby bipolar disorder treatments give rise to attenuated phosphoinositide signalling.Recent work on the effects of lithium on 8Dictyostelium provides distinct advantages.To help those diagnosed with bipolar disorder, ongoing research endeavours to identify the cell signalling changes that are targeted by the pharmacological agents, valproic acid and lithium. This approach overcomes the multitude of potential loci implicated in the aetiology of the disorder, but instead focuses on understanding the mechanism(s) leading to symptomatic control. It also enables the identification of new compounds that may be more efficacious or have reduced side effects in bipolar disorder treatment. Research in this area has traditionally used rodents as model organisms, however the increasing use of other simple model systems such as Dictyostelium and the animal brain respond by elevating pERK2 levels in the MAPK pathway. Analysis of this effect in Dictyostelium has proposed two mechanisms: VPA regulates increased pERK2 levels through inhibition of cAMP/PKA signalling, whereas lithium inhibits GSK3/A, with both effects leading to the reduced dephosphorylation of pERK2. The strong structural specificity of this effect in regards to VPA suggests novel compounds may be identified that show improved efficacy for MAPK regulation.Investigation of cell signalling regulated by VPA and lithium demonstrate that both Dictyostelium is the reduction of inositol-dependent signalling. Recently studies have suggested that cellular inositol phosphate levels are controlled by both inositol recycling and the MIPP-catalysed breakdown of higher-order inositol phosphate compounds (InsP4\u20136) regulated by prolyl oligopeptidase activity. This work has also discovered a transcriptional-based effect, whereby lithium treatment gives rise to altered transcriptional regulation of inositol-signalling related genes. In addition Dictyostelium-based research has discovered a potential key pharmacological target of VPA and lithium in attenuating phosphoinositol signalling, with both drugs causing an acute attenuation of phosphoinositol turnover. In the case of lithium, it is likely that this effect is through inositol signalling attenuation, whereas the mechanism controlled by VPA remains to be determined. These discoveries open up a exciting field of phosphoinositol research, with the promise of new therapies (based around the structure of VPA) showing increased efficacy in phosphoinositide regulation.Another cell signalling effect of VPA and lithium in Dictyostelium as a simple biomedical model for this research. A better understanding of these cell signalling changes may ultimately identify the underlying causes of bipolar disorder and will enable the development of better therapeutic treatments.This review has summarised current research aimed at unravelling the complex mechanisms of VPA and lithium in regulating cell signalling, and the important role of"}
+{"text": "The research on T cell immunosuppression therapies has attracted most of the attention in clinical transplantation. However, B cells and humoral immune responses are increasingly acknowledged as crucial mediators of chronic allograft rejection. Indeed, humoral immune responses can lead to renal allograft rejection even in patients whose cell-mediated immune responses are well controlled. On the other hand, newly studied B cell subsets with regulatory effects have been linked to tolerance achievement in transplantation. Better understanding of the regulatory and effector B cell responses may therefore lead to new therapeutic approaches. Mesenchymal stem cells (MSC) are arising as a potent therapeutic tool in transplantation due to their regenerative and immunomodulatory properties. The research on MSCs has mainly focused on their effects on T cells and although data regarding the modulatory effects of MSCs on alloantigen-specific humoral response in humans is scarce, it has been demonstrated that MSCs significantly affect B cell functioning. In the present review we will analyze and discuss the results in this field. B cells are a major cell type involved in adaptive immune responses, specialized in antigen presentation and antibody production. The balance between the different B cell subsets has been identified as an important factor for graft outcome. On one hand, effector B cells generate humoral rejection and pre-formed donor-specific antibodies (DSA) against human leukocyte antigen (HLA)-I or HLA-II that have been correlated to worst graft outcome. On the other hand, pro-tolerogenic B cell subsets have been identified. An increase in immature transitional and na\u00efve B cells has been related to tolerance in recipients compromises long-term allograft survival are expressed by transitional B cells, which are considered to be tolerogenic. Moreover, there is evidence of a subset of B cells with anti-inflammatory properties and the ability to secrete IL10, which down-regulation is known to be involved in the development of autoimmune diseases , antibody depleting strategies (plasmapheresis), plasma cell depleting agents , or complement-inhibitor agents (Eculizumab) have been reported to be efficient in promoting graft survival induction therapy and the stimuli used to trigger B cell differentiation and proliferation. MSC: B cell ratio is also an important point, as the most effective ratios used are very high and it is hardly observed a dose dilution effect, contrarily to what happens with the immunosuppressive effect of MSCs on T cells the effect is diverse depending on the stimuli used to induce proliferation and/or differentiation.The activation of na\u00efve B cells requires three signals: B cell receptor (BCR) activation (via anti-Ig), T cell co-stimulatory help (via CD40/CD40L), and appropriate cytokines or toll-like receptor (TLR) activation , while memory B cells can be activated in the absence of BCR stimulation and triggered via stimulation of TLR or bystander T cell help only models treated with MSCs.However, we also find some disparity in the results obtained in vitro effects of MSC on B cells, there are contradictory reports on the effects of MSC on B cells in animal models.Similar to the controversial + plasma cells in the bone marrow of MSC treated mice are also increased (Table Different groups have approached the treatment of a SLE model with MSCs. A single injection of human BM-MSCs combined with cyclophosphamide (CTX) increased survival, decreased proteinuria, and reduced the levels of circulating anti-dsDNA IgG in a MRL/Lpr mice model , there is evidence that MSC may be capable of inducing an adaptive immune response induced substantial alloantibody production in contrast to syngeneic cells injection in an immunocompetent host developed alloantibodies after hematopoietic stem cell (HSC) transplantation, none of them developed anti-MSC antibodies in a rat kidney transplantation model is that the injected animals do not develop specific anti-MSCs antibodies while they do increase antibody levels against the third party when they are injected with the full fraction of bone marrow mononuclear cells , the number of injected cells, the number of injections, the route of administration or concurrent immunosuppression used. More The role of B cells in transplantation is multifaceted due to the opposed roles of different B cell subsets in tolerance and rejection. This enlightens the need for more refined immunosuppressive regimens to treat humoral rejection without compromising the effect of the pro-tolerogenic B cell subsets, namely transitional and regulatory B cells.Mesenchymal stem cells have proven immunomodulatory properties, suppressing inflammatory cell functions, and differentiation and increasing or synergizing with regulatory cells such as Tregs.Their effect on B cells has been scarcely studied and although the results obtained are contradictory so far, it seems clear there is a close interaction between MSC and B cells. It appears that this interaction occurs partly through the modulation of T cell help by MSCs, but also in the absence of helper cells MSCs can inhibit activated B cells. The study of this threesome relation is of special interest in the transplantation setting. Another interesting point that remains to be studied is the potential of MSCs to induce pro-tolerogenic B cell subsets that have themselves proved immunomodulatory properties.The potential of MSCs in B cell immunomodulation appears to be promising and not fully understood. The advent of new and well designed studies can give important insights to fully picture the therapeutic role of MSCs in B cell mediated rejection.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Dental caries is one of the most prevalent chronic diseases affecting children in Sub-Saharan Africa. Previous studies show a higher prevalence of dental caries in children from low socio-economic status backgrounds. The purpose of this study was to determine the prevalence of dental caries among 12 year old children in urban and rural areas of Zimbabwe and establish preliminary baseline data.A descriptive cross-sectional study was conducted among 12 year old children at primary schools in Harare and Bikita district. A Pre-tested questionnaire was administered to elicit information from the participants on tooth cleaning, dietary habits and dental experience. Dental caries status was assessed using the DMFT index following World Health Organization (WHO) guidelines.Our results showed a high prevalence of dental caries in both urban (59.5%) and rural (40.8%) children. The mean DMFT in urban and rural areas was 1.29 and 0.66, respectively. Furthermore, our data showed a general lack of knowledge on oral health issues by the participants.There is high prevalence of dental caries among 12 years old school children in both urban and rural areas of Zimbabwe. This calls for early preventive strategies and treatment services. We recommend incorporation of oral health education in the elementary school curricula. Dental caries remains a major oral health disease affecting children world-wide . While tEstablishing baseline data on children dental caries and other oral health issues through regular national surveys is crucial for planning and development of intervention programs . UnfortuThe main focus of this study was to determine the prevalence of dental caries among twelve year old school children from low socio-economic status backgrounds in both urban and rural areas of Zimbabwe. Our results show a high prevalence of dental caries in both urban and rural children.Study design: This is a descriptive cross-sectional study designed to assess dental caries experience among 12 year old school children from low socio-economic status background attending public primary schools in Zimbabwe.Setting and study population: For convenience purposes, participants in this study were drawn from two primary schools in urban and rural areas respectively. The study population consisted of 12 year old children attending public primary schools. We particularly focused on this age group as it is the WHO recommended index age ,in this study; we observed a higher prevalence of dental caries among urban children who reported ever consulting a dentist . We did Despite limitations of this study which include use of a small convenient sample size drawn from only two schools coupled with our inability to verify the information reported on the questionnaire, our findings concur with previous studies done in Zimbabwe , 8 and sOur data shows a high prevalence of dental caries among 12 year old school children from low socio-economic status background in both urban and rural areas of Zimbabwe. This data may be of importance in the evaluation of the past and planning of future oral health prevention and treatment programs targeting young children in primary schools. A comprehensive community-focused oral health care intervention that includes oral health education in elementary schools and homes is recommended to increase general oral health awareness."}
+{"text": "To the Editor: Rabies was officially declared eliminated in nonflying mammals in metropolitan France during 2001\u20132008 by the World Organisation for Animal Health; the last case of rabies was believed to occur in a fox in 1998. However, rabies remained a public health concern because of the risk of translocation of infected dogs from enzootic areas and the natural circulation of bat rabies\u2013associated lyssaviruses (BRALVs). In 2008, France temporarily lost its rabies-free status following evidence of an indigenous case of rabies in a dog, linked to an index case in a dog infected in Morocco. In 2007, a domestic cat was found infected with a BRALV, an indication that, although bats are the primary hosts of this pathogen, other mammals may be infected (,,We compared the number of RPEP treatments in humans after bat-related exposures in the south of France with newspaper reports about rabies-related events over an 8-year period. In France, primary health care management of patients seeking RPEP is delivered through an official network of antirabies medical centers. All centers in the southern half of France were asked to provide the number of RPEP treatments that followed bat-related exposures in mainland France during 2002 through 2009. Of 22 centers, 18 participated in the study, reporting 326 RPEP treatments . Two mar\u2013The pattern of spikes in RPEP in the south of France seen after bat-rabies media reports supports the results of other studies that found effective newspaper reporting increases patient demand for RPEP (,Classical rabies virus has been transmitted to humans by bats in South America (Based on results of study we conducted in 2008 when RPEP increased 4.7 fold after 2 media releases within several weeks, it is possible that only 20% of persons with bat exposure typically seek RPEP in periods without media reports. Although the risk of human rabies acquired through exposure to European bats is rare, information should be provided to the French public to avoid direct contact with bats, including handling when found inside homes during the summertime. When available, bats should be submitted for rabies testing to determine whether RPEP is needed. Following these procedures should minimize both the potential risk for transmission and the number of expensive RPEP treatments."}
+{"text": "PREP (Prediction of risks in early onset pre-eclampsia) is a multicentre prospective cohort study aiming to develop and validate a prediction model in women admitted with early-onset pre-eclampsia for risk of adverse maternal outcome at 48 hours and until discharge. The primary outcome was a composite of adverse maternal outcomes and the secondary outcome a composite of adverse fetal outcomes.The planned model includes multiple predictor variables in combination to predict the risk of adverse outcomes in individual patients. We highlight the methodological challenges encountered in model development.The predictor variables were pre-selected based on symptoms, signs and results of investigations routinely taken during management of pre-eclampsia. Challenges included accounting for correlation between variables, choosing the most abnormal variable within a time period or from a pre-determined time point, inconsistency in ascertainment of the data points ie blood results available later than the signs and symptoms, modelling a combination of binary, ordinal and continuous variables and the approach in prioritisation of these variables.Clinician management such as anti-hypertensives and magnesium sulphate will affect the relationship between the predictor and outcome. We will include clinical management as a covariate and assess consistency in model performance across different treatment groups to account for this.Selecting the optimum type of prediction model posed a further challenge. Logistic regression focuses on the relationship between predictor variables and adverse outcomes whereas survival analysis takes into account the time to develop the outcome. The former may be statistically more suitable but the latter clinically more useful."}
+{"text": "Dye-assisted internal limiting membrane (ILM) peeling and gas tamponade is the surgery of choice for idiopathic macular holes. Indocyanine green and trypan blue have been extensively used to stain the ILM. However, the retinal toxicity of indocyanine green and non-uniform staining with trypan blue has necessitated development of newer vital dyes. Brilliant blue G has recently been introduced as one such dye with adequate ILM staining and no reported retinal toxicity. We performed a 23-gauge pars plana vitrectomy with brilliant blue G-assisted ILM peeling in six patients with idiopathic macular holes, to assess the staining characteristics and short-term adverse effects of this dye. Adequate staining assisted in the complete removal of ILM and closure of macular holes in all cases. There was no evidence of intraoperative or postoperative dye-related toxicity. Brilliant blue G appears to be safe dye for ILM staining in macular hole surgery. Internal limiting membrane (ILM) peeling, one of the most challenging procedures in vitreoretinal surgery, has been made easier with selective staining of this optically clear tissue with a number of vital dyes. Indocyan36) mixture and the patients were advised prone position for one week.After approval by the local institutional review board and ethics committee, six eyes of six patients with idiP < 0.05.Statistical analysis of pre- and postoperative BCVA was performed using the two-tailed Wilcoxon signed ranks test. Differences were considered significant when P = 0.0325). Staining of the ILM was good in all cases and allowed for an easy and atraumatic removal of the ILM. The complete data on our patients is given in Four women and two men with a mean age of 64.6 years were included in the study. All patients were followed-up for 20 weeks postoperatively. All macular holes were completely closed in all patients in the first visit (one week) and remained closed at all subsequent four-weekly visits Fig. and c. TWe did not observe any visual field defects in any of the patients that might have been caused by dye toxicity. There was no evidence of any retinal pigment epithelium abnormality or nerve fiber layer defect seen in the red-free photographs during any of the postoperative visits of all patients. No ocular or systemic side effects were noted.et al.[8et al,[Dye-related toxicity is a major concern in macular hole surgery as retinal damage caused by the dye may offset the visual gain facilitated by the successful closure of the macular hole. Reports of potential side effects of ICG point to either the dye\u2019s photosensitizing properties or to diet al. The dye et al.810 SchumAs the dye seeps under the detached retina surrounding the macular hole during surgery, it\u2019s toxicity to the retinal pigment epithelial cells may affect the final visual function adversely. ICG has been seen to cause damage to the retinal pigment epithelial and gangThere was absence of any visual field defect either within the area of the peeled ILM indicating trauma to the nerve fiber layer during ILM removal, or outside it indicating any dye-related toxicity in our study. None of the patients showed any retinal nerve fiber defects on red-free photographs as well. Although there were no studies documenting the postoperative duration for which BBG was retained in the eye, the absence of any visual field defects at the end of 20 weeks, pointed to the dye\u2019s lack of toxicity to retinal elements, as investigations on ICG-related field defects reported such events within the first few follow-up visits.All the patients in our series had macular holes measuring greater than 400 \u03bcm and we attributed the successful closure rate to BBG-assisted adequate removal of the ILM. Staining of the ILM was good in all cases, providing an excellent contrast and facilitating complete removal of the membrane atraumatically. The low potential toxicity and staining nature of BBG would make it safer than trypan blue or ICG. Studies with larger patient size would be possible when the dye becomes more easily available to vitreoretinal surgeons in India, in the future."}
+{"text": "Aggregation of tau is one of the main hallmarks of Alzheimer\u2019s disease and other tauopathies. Normally tau regulates microtubule (MT) dynamics and hence axonal function but in AD hyperphosphorylated, misfolded and aggregated tau has reduced interaction with microtubules. There is growing evidence that the proteolytic processing of tau may play a crucial role in the aberrant change of tau conformation and its aggregation. rTg4510 mice express the human four-repeat tau gene lacking the amino-terminal sequence (0N4R) and with a P301L mutation. Between four and ten months of age the mice develop progressive tau pathology and eventually neuronal loss. The aim of this work was to investigate the importance of tau cleavage at D421, the cleavage epitope for caspase-3 and caspase-6, and its role in tau aggregation. We ran a longitudinal study to measure the level and distribution of D421-caspase cleaved tau in rTg4510 between two and eight months of age to determine whether there is a correlation between the cleavage of tau and its conformational change.Total tau and D421-caspase cleaved tau levels in the cortex and hippocampus in each age group were quantified using a panel of proprietary AlphaScreen assays and by standard IHC methods. Tau aggregation was assessed using high-speed centrifugation of brain homogenates.The biochemical and immunohistochemical analyses of rTg4510 showed a time-dependent increase of caspase-cleaved tau at D421 in the cortex and hippocampus between four and eight months of age and importantly caspase-cleaved tau was shown to be associated with the insoluble fraction of tau. These changes are concomitant with progression of tau pathological changes previously observed in this model.Caspase-cleaved tau at D421 is associated with aggregated and insoluble tau. Our findings contribute to the discussion on whether therapeutics aimed at inhibiting caspase-mediated tau cleavage could be beneficial in slowing cleavage and aggregation, and hence potentially inhibit the pathological cascade in Alzheimer\u2019s disease."}
+{"text": "Bacillus cereus sensu lato group consists of six species . While classical microbial taxonomy proposed these organisms as distinct species, newer molecular phylogenies and comparative genome sequencing suggests that these organisms should be classified as a single species . How do we account for the underlying similarity of these phenotypically diverse microbes? It has been established for some time that the most rapidly evolving and evolutionarily flexible portions of the bacterial genome are regulatory sequences and transcriptional networks. Other studies have suggested that the sigma factor gene family of these organisms has diverged and expanded significantly relative to their ancestors; sigma factors are those portions of the bacterial transcriptional apparatus that control RNA polymerase recognition for promoter selection. Thus, examining sigma factor divergence in these organisms would concurrently examine both regulatory sequences and transcriptional networks important for divergence. We began this examination by comparison to the sigma factor gene set of B. subtilis.The Bc species-group utilizing 157 single-copy genes of the family Bacillaceae suggests that several taxonomic revisions of the genus Bacillus should be considered. Within the Bc species-group there is little indication that the currently recognized species form related sub-groupings, suggesting that they are members of the same species. The sigma factor gene family encoded by the Bc species-group appears to be the result of a dynamic gene-duplication and gene-loss process that in previous analyses underestimated the true heterogeneity of the sigma factor content in the Bc species-group.Phylogenetic analysis of the B. subtilis. Divergence of the sigma-controlled transcriptional regulons among various members of the Bc species-group likely has a major role in explaining the diversity of phenotypic characteristics seen in members of the Bc species-group.Expansion of the sigma factor gene family appears to have preferentially occurred within the extracytoplasmic function (ECF) sigma factor genes, while the primary alternative (PA) sigma factor genes are, in general, highly conserved with those found in Bacillus consists of a heterogeneous group of Gram-positive heterotrophic aerobic or facultative anaerobic bacilli with the ability to form environmentally resistant, metabolically inert spores , based on classical microbial taxonomy analysis (MEGA) . Other aThe authors declare that they have no competing interests.TS performed the data analyses included in the manuscript, except for Figures BacillaceaeSingle-copy genes used in the phylogenetic analysis of the . Annotations for each of the single-copy gene are from the Paenibacillus genome as submitted to Genbank, one of the outgroups included in the analysis.Click here for fileSigma factor genes identified in this study. Locus tags for genes found in each genome follow the locus tag identifier or sigma factor identifier for each ortholog.Click here for fileResults of MEME analysis of the sigma factor genes identified in iterative BLAST searches. MEME results for 10 motifs (nmotifs = 10) are shown, 7 of which follow phylogenetic patterns that differentiate PA from ECF sigma factors (Tables s Tables and 3.Click here for fileResults of phylogenetic analysis of the sigma factors identified in Additional file Click here for file"}
+{"text": "Brain and Cognition describes a possible mechanism underlying the development and maintenance of attentional bias in depression and anxiety. Their findings regarding decoupling of prefrontal\u2013posterior brain regions adds to the existing evidence that fronto-limbic interactions facilitate the generation of task-relevant responses while inhibiting interference from emotionally distracting information. The authors employed electroencephalogram (EEG) and three mood induction methods in healthy controls to explore state-dependent coherence between prefrontal and posterior cortical regions as a mechanism for modulating the impact that social-emotional information has on an individual. The findings suggest that prefrontal\u2013posterior decoupling is related to individual differences in the behavioral traits of absorption and in the propensity to ruminate. Higher scores in these traits were related to loosened coupling between prefrontal cortex (PFC) and posterior cortex. Conversely, healthy controls with lower scores on absorption and rumination showed stronger prefrontal\u2013posterior coupling. Results were interpreted as showing that less prefrontal\u2013posterior coupling may be related to loosening of control by the PFC over incoming social-emotional information, and consequently to deeper emotional involvement and absorption. Conversely, increased prefrontal\u2013posterior coupling may be related to strong control, with a consequent dampening of emotional experience and a lack of emotional engagement. When considering the neural substrates of emotional control, the limbic system has been suggested to play a key role. This set of brain regions includes frontal and medial temporal lobe structures. Although there is no universally accepted definition of what constitutes the limbic system, the anterior cingulate cortex (ACC) is thought to play an important role in emotional regulation. Numerous other functions have been ascribed to the ACC but here we focus on the specific role of the ACC on regulating emotion through attentional control.Despite the high prevalence of mood disorders, their underlying psychopathology remains poorly understood. A recent publication by Reiser et al. in BrainThe ACC can be divided into dorsal (cognitive), and ventral components. The dorsal ACC is thought to monitor for errors or processing conflicts that could disrupt performance and to recruit the dorsolateral PFC (DLPFC) to reallocate attentional resources as needed but fail on tasks requiring conflict resolution that involve cognitive control (DLPFC-ACC). We suggest that closing the loop between the emotional and the cognitive brain is central to progress in the treatment of emotional disorders. These reciprocal regulatory mechanisms constitute a critical property of human adaption that facilitates the balance between processing task-relevant information and emotionally salient but task-irrelevant information. Successful goal directed behavior appears to be mediated by direct feedback connections between the DLPFC and the ACC especially when emotional distracters are present."}
+{"text": "Peptidoglycan (PG) is an essential net-like macromolecule that surrounds bacteria, gives them their shape, and protects them against their own high osmotic pressure. PG synthesis inhibition leads to bacterial cell lysis, making it an important target for many antibiotics. The final two reactions in PG synthesis are performed by penicillin-binding proteins (PBPs). Their glycosyltransferase (GT) activity uses the lipid II precursor to synthesize glycan chains and their transpeptidase (TP) activity catalyzes the cross-linking of two glycan chains via the peptide side chains. Inhibition of either of these two reactions leads to bacterial cell death. \u03b2-lactam antibiotics target the transpeptidation reaction while antibiotic therapy based on inhibition of the GTs remains to be developed. Ongoing research is trying to fill this gap by studying the interactions of GTs with inhibitors and substrate mimics and utilizing the latter as templates for the design of new antibiotics. In this review we present an updated overview on the GTs and describe the structure-activity relationship of recently developed synthetic ligands. The emergence of multidrug-resistant bacteria causes major public health problems, particularly in medical facilities where the lack of efficient antibiotics could jeopardize the advances made in the treatment of many diseases. New efficient antibiotics against multidrug-resistant strains are urgently needed to counter this worrying situation.N-acetylglucosamine (GlcNAc) and N-acetylmuramic acid (MurNAc)-peptide attached to the membrane-bound undecaprenyl lipid carrier via a pyrophosphate group is an essential net-like macromolecule that surrounds most bacteria, gives them their shape, and protects them against their own high osmotic pressure structures helix (66\u201396 in PBP1b) end of the growing chain against a variety of Gram-positive bacteria (10\u20131000 times better than vancomycin) and inhibits all the GTs tested at low concentration. Interestingly, no resistance has been observed, even after moenomycin was used extensively in animal feed they provided a comprehensive structure-activity view shedding light on the entities required to design substrate-based inhibitors of the GTs. The disaccharide analogs were more active than their cognate monosaccharides. The best compound in the phosphate series was a disaccharide devoid of a peptide moiety with a MIC value of 128\u2009\u03bcg/ml against S. aureus. The substitution of the C16 lipid chain by geranyl completely abolished the activity of the compounds. The specificity of these compounds for the donor and acceptor sites still needs to be determined. Except for compound 62, none of the compounds had antibacterial activity but the most active ones induced bacterial cell chaining similar to the phenotype observed with moenomycin , and a lipophilic moiety. As for moenomycin, the lipophilic part was essential for GT inhibition. A compound with a branched lipid was more potent than a compound with a linear one. An ether linkage between the pyrophosphate mimic and the lipophilic moieties was five times more efficient than an amide linkage. Compound 31 . The latter can serve as donor substrate and may not be efficient as an inhibitor.Shih et al. have synl-Ala residue has an intermediate affinity. In the absence of peptide and upon substitution of the d-lactoyl of the MurNAc by a methyl group no binding was observed. The authors concluded that the d-lactoyl-l-Ala moiety is essential for substrate binding. We have shown that lipid II analogs with d-lactoyl have an inhibitory activity on GTs indicating that the l-Ala residue of these analogs is not required for binding and that a d-lactoyl group is sufficient (Dumbre et al., The same group has synthesized lipid II analogs with variable peptide moieties and evaluated their binding to the GTs (Shih et al., S. aureus. In analog 3 (Figure Huang et al. reported3 Figure B. This i3 Figure . In the Glycosyltransferase is a validated antibacterial target that has not been fully explored in the past because of technical difficulties related to the intrinsic properties of the proteins and their substrates. Most of the studies on GT activity inhibition have focused on moenomycin and its derivatives. The adverse properties of moenomycin and the need for the lipid moiety to achieve full antibacterial activity have prevented its development as an antibacterial agent in humans. With the ongoing antibiotic resistance crisis, the GT step in PG synthesis has emerged as one of the major antibacterial targets for the development of new antibiotics. This interest has resulted in a major breakthrough in the last decade: crystal structures of GT and complexes with moenomycin have been elucidated, the preparation of substrates has been improved, new assays have been developed, and particularly extensive efforts in the synthesis of substrate and moenomycin analogs have been made. Attempts to screen small molecule libraries for GT inhibition have also been investigated. This dynamic will certainly contribute to our better understanding of the GT-substrate mimic interactions and the discovery of new small molecule lead compounds. The use of these ligands as templates for the design and synthesis of new molecules may deliver useful antibacterial drugs against resistant bacteria.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Onychoprion fuscatus), on Ascension Island to provide new insights about this classical example of a population of sub-annually breeding birds that was first documented in studies 60 years previously on the same island. We confirm that the breeding interval of this population has remained consistently sub-annual. By ringing >17000 birds and re-capturing a large sample of them at equivalent breeding stages in subsequent seasons, we reveal for the first time that many individual birds also consistently breed sub-annually . Ascension Island sooty terns appear to reduce their courtship phase markedly compared with conspecifics breeding elsewhere. Our results provide rare insights into the ecological and physiological drivers of breeding periodicity, indicating that reduction of the annual cycle to just two life-history stages, breeding and moult, is a viable life-history strategy and that moult may determine the minimum time between breeding attempts.Breeding periodicity allows organisms to synchronise breeding attempts with the most favourable ecological conditions under which to raise offspring. For most animal species, ecological conditions vary seasonally and usually impose an annual breeding schedule on their populations; sub-annual breeding schedules will be rare. We use a 16-year dataset of breeding attempts by a tropical seabird, the sooty tern ( The periodicity of animal breeding has long fascinated biologists who have often invoked ecological explanations of within and between-species variation in the timing of breeding and its evolution e.g. . Timing Diomedea spp.) and frigatebirds (Fregata spp.), there is annual breeding at colonies but it is well established that individuals within those populations breed only biennially Sterna bergii) on Aldabra Atoll Gygis alba) on Christmas Island (Pacific) Phaethon lepturus) on Ascension Island Sterna anaethetus) on Aldabra Atoll Puffinus nativitatis) on the Pitcairn Islands Puffinus lherminieri) and swallow-tailed gulls (Creagrus furcatus) on The Galapagos Islands Of all life-history stages, reproduction is probably most sensitive to an organism's ecology. This is true for almost all animal taxa that combat unpredictability of resources by interrupting breeding at different reproductive thresholds (e.g. some insects) and delaying implantation of embryos . However, such plasticity in the timing of breeding is not exhibited by birds Sula sula], white terns and red-billed tropicbirds [Phaethon aethereus] on Johnston Atoll in the central Pacific All birds undergo cycles involving both breeding and moult which together impose some temporal constraints on the timing of breeding The breeding interval of populations is not always the same as that of constituent individuals. For example, while individual white terns The classical example of sub-annual breeding at a population level is provided by the work of Chapin Some such as Newton 2 volcanic island and a constituent of the United Kingdom Overseas Territory (UKOT) of St Helena. It is isolated in the tropical South Atlantic midway between West Africa and South America. Although many scientific expeditions have visited the island, including The Beagle in 1838 2 of ocean. Sooty terns now constitute over 95% of avian biomass of the island with possibly as many as 750000 birds breeding in the 1950s The study was carried out on Ascension Island , a 97 kmWe monitored the interval between first hatching dates across 19 breeding cycles between 1996 and 2012 (inclusive) to establish the breeding interval of the populations at Mars Bay and Waterside colonies on the southern coast of the island see . Each coWe captured 17426 incubating adults between 1996 and 2012 (inclusive) using long-handled nets and ringed them (under a British Trust for Ornithology [BTO] ringing licence number A4318) with uniquely numbered BTO metal rings to study the breeding interval of individual birds. Birds were generally ringed in groups of 100 within a sub-colony before moving on to another sub-colony. This was done to minimise disruption to incubating birds. In a given season re-capture effort took place before ringing of birds to avoid re-capture of newly ringed birds. Pairs of fieldworkers walked through sub-colonies of incubating birds and ringed birds were targeted for re-capture. Most birds typically stand as they are approached and were caught by one person while the other noted their ring numbers. In this way the entire population of incubating birds at both colonies was surveyed. This was repeated a week later to maximise the probability of re-capturing both birds of incubating pairs \u2013 Ascension Island birds spend up to seven days away at sea before returning to relieve their partners of incubation duties d1 and d2 are the dates of hatching of first chick of the season, and of departure of the last tern the previous season, respectively, i is the mean incubation period (i.e. 29 days), c is the mean courtship period (i.e. 52 days), and s is the mean interval between the first egg date in the two colonies and the date of departure of the last bird from the two colonies.The breeding cycle of this pan-equatorially distributed species is composed of periods of courtship, incubation, chick-rearing and migration which we compared between birds on Ascension Island and conspecifics on other islands to CPW and under which birds were ringed on this UKOT.The mean interval between first estimated hatching dates in successive breeding seasons was 289.4\u00b110.1 (\u00b195% confidence limits) days (N\u200a=\u200a17) at Mars Bay and 288.9\u00b18.7 days (N\u200a=\u200a19) at Waterside . The meaOut of a total of 17426 birds that were captured and ringed between 1996 and 2012 , and oveA comparison between sub-annually breeding sooty terns on Ascension Island and annually breeding conspecifics elsewhere revealed differences of a single day between incubation periods, six days between chick-rearing periods and 15 days between migration periods . HoweverWe provide strong evidence of consistent sub-annual breeding at both the individual and the population levels of sooty terns breeding on Ascension Island. Birds bred twice in the calendar years 2004, 2008 and 2012 and sub-annual breeding intervals translated into breeding peaks in different months of the year over the course of this 16-year study . RingingThe sub-annual breeding interval of the sooty tern population on Ascension Island appears to have remained constant for at least the last 140 years. From historical records Chapin . In the Ashmole Larus argentatus] Compared with the annually breeding populations of sooty terns, Ascension Island birds appear able to breed sub-annually by reducing the courtship period by 76 days. This matches the difference between annual and sub-annual breeding intervals. There appear to be some fundamental differences in the breeding biology of the population on Ascension Island compared with elsewhere. For example, laying peaks towards the end of the laying period 40\u201360 days after the first egg is laid on Ascension Island Breeding seasons evolve because most habitats are exposed to seasonality which results in organisms receiving maximum fitness benefits by restricting their breeding attempts to the most favourable times of the year Sturnus vulgaris]) are kept experimentally under constant equatorial photoperiods and temperature, and with access to ad libitum food , they show repeated circannual rhythms of gonadal maturation and moult which typically last less than 12 months and are often nearer to nine months Wingfield Bird species generally demonstrate a remarkable diversity in moult strategies between different locations, sexes and age classes Despite having studied the Ascension Island population of birds since 1990, we still know little about the physiological constraints on birds of this population in relation to the breeding cycle. Certainly, differences between moult strategies of birds breeding on Ascension Island and elsewhere warrant closer consideration but so too do other aspects of their comparative life history. As We provide strong empirical evidence for regular sub-annual breeding of a free-living avian species. For the first time we employ robust data to demonstrate that this occurs at the level of both the population (hypothesis 1) and the individual (hypothesis 2). We have also shown that the lengths of some constituent phases of the breeding cycle differ between Ascension Island birds and those elsewhere (hypothesis 3), identifying focal points for future research. Our findings increase understanding of the timing of breeding in relation to prevailing ecological conditions. It is clear that sooty terns breeding on Ascension Island may not experience an annual cycle in the availability of ecological resources but this may be overlain by ENSO and other generally unpredictable events. While this lack of an ecological signal translates into average breeding success per breeding attempt being lower for sub-annual breeders, this strategy potentially provides individual birds with more chances to breed during their lifetimes. Therefore, sub-annual breeding must be advantageous to Ascension Island birds despite their success per breeding attempt being lower. Further research is needed to identify other species with enduring and consistent sub-annual breeding cycles and, as result, to advance our understanding of breeding periodicity of vertebrates through the testing of proximate and ultimate causal explanations of the phenomenon."}
+{"text": "In highly seasonal tropical environments, temporal changes in habitat and resources are a significant determinant of the spatial distribution of species. This study disentangles the effects of spatial and mid to long-term temporal heterogeneity in habitat on the diversity and abundance of savanna birds by testing four competing conceptual models of varying complexity. Focussing on sites in northeast Australia over a 20 year time period, we used ground cover and foliage projected cover surfaces derived from a time series of Landsat Thematic Mapper imagery, rainfall data and site-level vegetation surveys to derive measures of habitat structure at local (1\u2013100 ha) and landscape (100\u20131000s ha) scales. We used generalised linear models and an information theoretic approach to test the independent effects of spatial and temporal influences on savanna bird diversity and the abundance of eight species with different life-history behaviours. Of four competing models defining influences on assemblages of savanna birds, the most parsimonious included temporal and spatial variability in vegetation cover and site-scale vegetation structure, suggesting savanna bird species respond to spatial and temporal habitat heterogeneity at both the broader landscape scale and at the fine-scale. The relative weight, strength and direction of the explanatory variables changed with each of the eight species, reflecting their different ecology and behavioural traits. This study demonstrates that variations in the spatial pattern of savanna vegetation over periods of 10 to 20 years at the local and landscape scale strongly affect bird diversity and abundance. Thus, it is essential to monitor and manage both spatial and temporal variability in avian habitat to achieve long-term biodiversity outcomes. Globally, savanna ecosystems are an important reservoir of biodiversity, but are undergoing rapid changes due to increased land use pressures including clearing, grazing and changes in fire regimes Seasonal and inter-annual variability in habitat attributes such as cover and resource availability are important components of species\u2019 habitat relationships, and can have an important influence on species\u2019 distribution patterns according to their mobility and ability to utilize changing habitat resources Wildlife respond to temporal variability in habitat attributes in a variety of ways including seasonal migration, nomadic dispersal movement, and shifting local patterns of habitat utilization and population dynamics In addition to climatic variability, land use disturbances can alter vegetation structure and dynamics, particularly at local (1\u2013100ha) to landscape (100\u20131000s ha) scales and at 10\u201320 year time scales, with important consequences for the composition and abundance of woodland birds The capacity now exists to measure temporal and spatial heterogeneity in vegetation cover using historical archives of satellite imagery at moderately high spatial resolutions, i.e. freely available archival annual Landsat Thematic Mapper imagery with a 30 m resolution over a 18 year time span There is a relatively good understanding of local-scale (1\u201310 ha) relationships between savanna bird abundance and diversity, and habitat structure, composition and disturbance regimes Rapid global change is the most compelling issue for conservation sciences at present This study addresses the following questions for explaining spatial variation in bird diversity and abundance in tropical savanna landscapes: i) how important is temporal heterogeneity in vegetation cover relative to spatial heterogeneity? ii) how influential is local to landscape-scale heterogeneity in vegetation cover compared to regional-scale rainfall-driven variation in vegetation cover?We developed a conceptual model of how spatial and temporal factors may influence savanna bird assemblages at different scales, and from this identified four competing hypotheses to disentangle effects of spatial and long-term temporal heterogeneity in habitat, and rainfall-driven and management-driven heterogeneity . In thisWe postulate four competing models:Local habitat model: local-scale (1\u2013100ha) habitat structure explains diversity and abundance of savanna birds. Spatial and long term temporal heterogeneity at the landscape-scale is of less importance.Spatial heterogeneity model: the spatial landscape context is important for savanna birds. Consideration of variables describing heterogeneity across the landscape allows better prediction of savanna bird diversity and abundance.Temporal rainfall variability model: rainfall variability is the key driver of temporal variability in habitat attributes for savanna birds. Broad-scale temporal variability in rainfall in conjunction with local-scale vegetation structure are important predictors of savanna bird diversity and abundance.Temporal and spatial heterogeneity model: spatial and temporal heterogeneity in woody and herbaceous vegetation cover at local and landscape scales are important predictors of savanna bird diversity and abundance. Annual temporal heterogeneity in vegetation cover across the landscape reflects the impact of land management as well as broader scale climatic gradients.These four models were then used as a basis for constructing a set of alternative statistical models for testing the relative influence of spatial and temporal heterogeneity in habitat attributes at local and landscape scales on savanna bird species richness and abundance.The study focused on the Desert Uplands bioregion of Queensland, Australia , which hEucalyptus whitei), characteristic of low-fertility eucalypt savannas of northeast Australia. The location of the sites in a same ecosystem type ensured variation in the observed bird patterns was not influenced by spatial differences in vegetation communities. All surveys were conducted on leasehold land and permission to access and survey these properties were obtained by the landholders, namely the Bode Families and Haydon Family (Penrice).Sites were located in a single regional ecosystem type, 10.3.9, , definedFifty 1-ha sites were surveyed in May-June 2004 and resurveyed in March-April 2005 and July-August 2006. Within each 1-ha site, eight five-ten minute diurnal bird counts were conducted over a four day period, and visual and aural observations were recorded. Each count represented the entire 1-ha area. At least two bird counts of each 1-ha plot were made per day at each site; one count in the morning between dawn and three hours after dawn, and the other a minimum of three hours after this period and before dusk. Studies of extensive bird survey data (over 500 sites sampled over 6 years) for these open, largely homogenous tropical savannas have demonstrated that repeated sampling of 1 ha areas, over multiple days and at different times of the day is the most appropriate method to count bird assemblages often dispersed across the landscape, and that distance sampling methods are not required Data used in the analyses were the total summed relative abundance of all the eight counts in each site for each year. All sites were located a minimum of 500 m from watering points to standardize the impact of grazing pressure across sites, and as far as practical from fence lines and roads. Sites were separated by a minimum of 1 km to avoid spatial dependence and all sites are located within a discrete unit of the mapped vegetation polygon (i.e. away from edges). Birds were recorded for all surveys at all sites, with each site having more than five species in total over the course of that season\u2019s survey.H) per seOreoica gutturalis, double-barred finch Taeniopygia bichenovii, grey-crowned babbler Pomatostomus temporalis, grey shrike thrush Colluricincla harmonica, singing honeyeater Lichenostomus virescens, weebill Smicrornis brevirostris, yellow-throated miner Manorina flavigula and zebra finch Taeniopygia guttata. These species represent the range of foraging and nesting guilds typical of woodland birds in the study area Regulation 2006 and the Commonwealth Scientific and Industrial Research Organisation Ecosystems Sciences Animal Ethic Committee Animal (Permit Number: 2AR 09\u201309). All surveys were by observation and no trapping or handling of birds was undertaken in this study.2 quadrats in a regular grid within each 50 m by 50 m plot. From this, we calculated the mean cover score for the full plot. Total tree and shrub frequency was calculated as the number of 0.5\u2013 m2 quadrats over which a tree or shrub was present.At the local-scale, habitat variables measuring vegetation structure and composition were recorded for each site. Basal area was measured from two diagonal corners of the 50 m by 50 m plot for live and dead trees. Mean basal area for each tree and size class and total live and dead basal area was calculated. Horizontal foliage projective cover was visually estimated for six height classes (0\u20130.5 m representing ground vegetation). Measures of percentage cover of bare earth, rock, litter, grass, sedges, herbs and forbs, and logs (>5 cm) were derived from 20 0.5\u2013 mSpatial and temporal variability in rainfall were derived from climatic data spatially interpolated from weather stations to 5-km grids on a daily time step and averaged to monthly surfaces for the period 1988 to 2006 An annual time-series of foliage projected cover and ground cover was derived from Landsat TM satellite imagery for the period 1988 to 2006. Foliage projected cover (FPC) was estimated by an empirical relationship between basal area, reflectance data and FPC, derived through regression analysis We calculated statistics for the ground cover and FPC surfaces using 5-km grids, which matched the resolution of the rainfall grid. Bird survey sites were overlaid on the grids with the number of bird survey sites located in each grid cell varying between four and eight. To measure landscape spatial heterogeneity for the dates for which we have bird survey data , we calculated a spatial mean and coefficient of variation of ground cover and FPC for each 5-km grid square.http://www.r-project.org) revealed significant positive temporal autocorrelation in FPC and ground cover at a 1 year lag for all sites as well as autocorrelation up to a 5 year lag, which was not always significant. Based on the autoregressive analysis, mean and variance time series statistics were calculated for ground cover and FPC over the short term (5 year autocorrelation lag) and long term (full time series). The autoregressive coefficients for 1 year and 5 year lags were also included in the explanatory variables as measures of temporal autocorrelation.Temporal variability in habitat for each site was measured from time series statistics for the mean value of FPC and ground cover in a 200 m circular buffer around each site (similar size to 1-ha field survey sites). Exploratory analysis of the FPC and ground cover time series data revealed approximately cyclical patterns of 8\u201310 years, particularly apparent in the ground cover data, suggesting significant temporal autocorrelation in vegetation cover. Autoregressive modelling using the \u201carima\u201d package in R , ranking according to Akaike\u2019s Information Criterion (AIC) values The time series statistics that measure similar characteristics, but at different temporal extents (e.g. mean FPC over the short term and long term), were generally found to be highly correlated. Univariate modelling and variable ranking showed that long-term statistics were always ranked higher than the short-term statistics, thus we excluded the short-term statistics from our models. The long-term mean and variance values for FPC were highly correlated with long-term mean and variance values for ground cover, respectively. Examination of the standard deviation in time series of FPC revealed relatively low temporal variability in FPC (5\u20138%) across all sites. Therefore temporal variance in FPC was not included in the models. The inclusion of either long term mean ground cover or long-term mean FPC in the final models varied among response variables depending on AIC ranking in the univariate generalized linear models. The final set of explanatory variables for each conceptual model is outlined in i being the best model compared to the alternative conceptual models To determine a final model for each conceptual model and each response variable, we modelled all combinations of the subset of parameters and selected the set of parameters with the best fit under that conceptual model . We rankiw) from all model combinations where the variable occurred We calculated the model averaged parameter estimate and associated unconditional standard error for each explanatory variable in the dominant model for each species. The model-averaged parameter estimate was calculated by summing the value of the parameter estimate multiplied by the Akaike weight performed the strongest based on Akaike weights and for We also found that model 4 was always ranked the highest and model 1 the lowest based on Akaike weight performance rankings . The ordHierarchical partitioning was performed on the full set of explanatory variables in the temporal and spatial variability model (model 4) since this model had the strongest support. The results revealed that temporal variables had particularly high independent effects for the yellow throated miner, grey crowned babbler, zebra finch and the singing honeyeater. Site-scale variables were particularly influential for the grey shrike thrush and the double barred finch. There was little differentiation between the site, landscape and temporal percentage independent effect for the weebill, crested bellbird and Shannon diversity for all birds .This study has made an important contribution to disentangling the effects of landscape spatial and temporal heterogeneity on the diversity and abundance of fauna populations in highly dynamic environments such as Australia\u2019s tropical savannas. We have taken advantage of multi-temporal archival Landsat Thematic Mapper imagery to quantify the influence of habitat variability on woodland birds at the appropriate spatial and temporal scales, thereby improving the predictive power of static species\u2019 distribution models. Our results highlight the importance of spatio-temporal habitat dynamics in savanna landscapes and the importance of defining habitat on a species-specific basis Species diversity showed a positive response to both temporal and spatial mean ground cover and negative response to spatial and temporal variability in vegetation cover, suggesting a link between overall woodland bird diversity and reduced spatial variability in vegetation cover and higher average ground cover at the landscape-scale. Overall, landscape-scale and site-scale spatial variables had higher independent effects on species diversity than temporal variables. This pattern supports the concept that while seasonal variation in vegetation cover can drive changes in composition of the bird community, there is still a core bird assemblage that is strongly linked to the amount of habitat resources present in a landscape over the long-term In savanna environments, regional heterogeneity in vegetation communities and cover is controlled largely by climate and soil characteristics, but at local to landscape scales, fire and grazing management practice can play a significant role At a species level, there was a variety of responses, predicated on the differences in the life history and ecology of each species. For the weebill, a small, ubiquitous and sedentary canopy dwelling species, there was no significant difference in the performance of the four models and it is seemingly resilient to land use change Globally, savanna landscapes are facing increasing and changing land use pressures, which will likely have serious implications for their fauna biodiversity This study advances our understanding of the relative importance of landscape spatial and temporal heterogeneity on fauna populations in highly dynamic environments such tropical savannas. It demonstrates that:Using remote sensing technology allows for combining spatial and temporal measures of habitat heterogeneity across several scales and significantly improves our ability to explain and understand savanna bird species dynamics and the complex relationship with landscape scale.While seasonal variation in vegetation cover can drive changes in composition of the bird community, core bird assemblages are strongly linked to the average amount of habitat resources present in the landscape and longer term (20 years) stability in vegetation cover.Species show individual responses to temporal and spatial changes in savanna landscapes, and as such habitat and landscape conservation goals must be both understood and defined on a species-specific basis.Temporal heterogeneity in vegetation cover at the local to landscape scale is shown to be of importance for explaining patterns of diversity and abundance in savanna birds and can have a greater influence than regional rainfall variability. This supports recent changes in thinking regarding rangeland ecology in that the management for landscape heterogeneity and mosaics of different disturbance regimes over longer time scales is more critical for conservation of native biota compared to more traditional utilitarian goals of short term sustainable, homogenous land management ideals."}
+{"text": "Converging evidence from over 40\u2009years of behavioral research indicates that higher testicular androgens in prenatal life and at puberty contribute to the masculinization of human behavior. However, the behavioral significance of the transient activation of the hypothalamic\u2013pituitary\u2013gonadal (HPG) axis in early postnatal life remains largely unknown. Although early research on non-human primates indicated that suppression of the postnatal surge in testicular androgens had no measurable effects on the later expression of the male behavioral phenotype, recent research from our laboratory suggests that postnatal testosterone concentrations influence male infant preferences for larger social groups and temperament characteristics associated with the later development of aggression. In later assessment of gender-linked behavior in the second year of life, concentrations of testosterone at 3\u20134\u2009months of age were unrelated to toy choices and activity levels during toy play. However, higher concentrations of testosterone predicted less vocalization in toddlers and higher parental ratings on an established screening measure for autism spectrum disorder. These findings suggest a role of the transient activation of the HPG axis in the development of typical and atypical male social relations and suggest that it may be useful in future research on the exaggerated rise in testosterone secretion in preterm infants or exposure to hormone disruptors in early postnatal life to include assessment of gender-relevant behavioral outcomes, including childhood disorders with sex-biased prevalence rates. Testicular androgens have a central role in human male development. In prenatal life, increased testicular androgens around 4\u20136\u2009weeks gestation masculinize the genitalia and initiate the sexual differentiation of the brain through hormonally dependent, sex-specific changes in the ultrastructure of the developing central nervous system . After aIn infant boys, serum testosterone (T) concentrations that are gonadal in origin increase to pubertal concentrations between 1 and 3\u2009months of age and fall to prepubertal values around 6\u2009months of age \u20137. SalivIn view of evidence indicating the postnatal endocrine surge is necessary to establish normal adult male reproductive function, a reasonable question is whether it is also necessary to establish male behaviors that facilitate reproductive success. An early perceptive commentary suggesteThe long delay in examining the postnatal developmental programing hypothesis in humans is understandable given the paucity of supporting evidence from studies in non-human primates. Investigations using a variety of mammalian species had established that higher androgen concentrations in prenatal life promoted a male behavioral phenotype in juveniles , includiAdditionally, pioneering researchers of human hormone\u2013behavior relations argued that the effects of androgens would be most apparent on behaviors showing large sex differences in expression, for example play preferences in childhood . ResearcThus, studies of hormone\u2013behavior relations in early postnatal life were likely further delayed because infants lack the physical and cognitive maturity to express known androgen-sensitive behaviors, such as aggression or toy play. In addition, few investigations specifically examined sex differences in infant behavior , 27. LimAlthough other research has shown that gender labels influence adult response to infants , 37, we Small sex differences in infant temperament may represent essential structures supporting the development of adult sex differences in socio-emotional behavior and receAt the same time, studies on gender-linked toy preferences in infancy were ongoing in our lab using eye-tracking technology to measure infant interests , 46. AltIn a second eye-tracking study of 41 infants at 3\u20134\u2009months of age, we examined whether hormonal factors might contribute to early visual preferences by determining whether the ratio of the lengths of the second and fourth digits of the right hand and saliInterpretation of the association between higher salivary T in male infants and visual attention to a group of figures representing male-typical social organization may be informed by our other finding that higher salivary T in male infants at 3\u20134\u2009months of age also predicted maternal ratings of greater negative affectivity on a well-established measure of infant temperament . FurtherIt is notable that although, we found associations between biological factors and gender-relevant behavior in our infant research, there were no sex differences in infant behavior at 3\u20134\u2009months of age. For that reason, we describe behavior measured at 3\u20134\u2009months of age as \u201cpre-emergent\u201d sex-linked behavior . We explEvidence of any organizational effects of postnatal T on behavior, however, requires establishing associations between postnatal concentrations of T and behavioral outcomes beyond the infantile period of transient HPG activation. For that reason, we tested whether postnatal T concentrations measured at 3\u20134\u2009months of age would predict gender-typical play behavior and activity levels in children in the second year of life . Play prSex differences in social relations include verbal ability and emotional processing. Therefore, it is noteworthy that in contrast to the absence of associations between postnatal T concentrations and toddler toy choices summarized above, higher T concentrations at 3\u20134\u2009months of age predicted higher scores on the autism spectrum disorder (ASD) scale of the Brief Infant-Toddler Social and Emotional Assessment and loweOur findings in toddlers are consistent with those from our earlier research on infants. Associations between digit ratios and interest in gender-linked toys in the first and second year of life suggest prenatal androgens influence pre-emergent and emergent sex-linked object interests. Additionally, our findings of no association between T concentrations in the early postnatal period and toy interests suggest the postnatal developmental programing hypothesis may not extend to all aspects of gender-linked behavior. Findings from another lab appear iOur research indicating androgen concentrations in early postnatal life may influence risk for ASD is interesting given a need to better understand the mechanisms that contribute to the sex-biased prevalence rate and the deficits in communication and social interactions that characterize ASD. Indeed, ASD, a neurodevelopmental disorder diagnosed more frequently in boys, is associated with impairments in social interactions, restricted and stereotypical behaviors, and communication delays . BecauseFinally, we have shown one measure of salivary T at 3\u20134\u2009months of age can predict aspects of infant and toddler behavior. In this relatively uncharted research area, these findings clearly require independent replication. Nonetheless, the general results of this growing body of research support the earlier speculation that theThe author declares that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Hepatocellular carcinoma (HCC) in a liver with advanced-stage chronic hepatitis C (CHC) is induced by hepatitis C virus, which chronically infects about 170 million people worldwide. To elucidate the associations between gene groups in hepatocellular carcinogenesis, we analyzed the profiles of the genes characteristically expressed in the CHC and HCC cell stages by a statistical method for inferring the network between gene systems based on the graphical Gaussian model. A systematic evaluation of the inferred network in terms of the biological knowledge revealed that the inferred network was strongly involved in the known gene-gene interactions with high significance"}
+{"text": "The purpose of this review is to characterize the type of patient who may benefit from alternate, nonsteroidal agents and to examine the current evidence behind their use.Evaluated the use of oral or IM low-dose methotrexate vs placebo in steroid-dependent asthma patients using either parallel or crossover design. 100 patients enrolled in study attending the ent and allergy centre (India)panchkula patients were on long term steroid therapy for more than 1 years. Age of patients between 30 to 50 years. Study comparing methotrexate, 10 mg weekly orally, or placebo.It was concluded that methotrexate allowed a good amount of reduction in oral corticosteroid compared to patients receiving placebo. The benefit of using methotrextate were very promising as compared to side effects of corticosteroids in steroid depoendent allergy diseases however, and should be balanced against the potential for side-effects associated with the use of methotrexate.With low dose weekly therapy of metotrextate we can reduce the side effects of prolonged steroids have suggested that methotrextate may have steroid-sparing benefits coupled to generally mild adverse events; although adverse effects were not of a serious nature they were observed in up to one-third of patients. Rare but potentially life-threatening adverse effects involving the pulmonary, hepatic and haematological systems remain of particular concern. methotrextate should therefore be considered as an adjunct to high dose inhaled STEROIDS in patients who require more than 10mg of predenisolone daily, and who experience severe and unacceptable steroid-related adverse effects. Treatment should only be initiated by physicians with experience in the use of the drug, and the relevant safety parameters should be closely monitored."}
+{"text": "Investigation of electrophysiologic radiation effects was performed on cells grown on a microelectrode array (MEA) allowing the monitoring of beat rate, spike shape, field action potential duration and signal conduction pathways across the electrode array. Data were analysed using the DrCell software [Since essentially no information is available on the effects of high linear energy transfer (LET) radiation on the heart, an assessment of possible late effects on the cardiovascular system is important with respect to the planning of manned long-term space missions , 2. In ooftware . In paraOur preliminary data indicate that primary cardiac cells possess a high robustness toward ionizing radiation as cultures receiving doses of up to 7 Gy still show unaltered electrophysiologic activity. This is exemplarily shown in Fig. Interestingly, in terms of the formation of double-strand breaks (DSBs) and cell cycle progression delay, the cultures showed a dose-dependent reduction in proliferation and DSB accumulation.Taken together, our electrophysiologic studies indicate that the large variations within the same treatment group of avian embryonic cardiomyocytes obscure the detection of radiation effects. To account for this problem, we will use in further studies human cardiomyocytes differentiated from iPS cells, as these cells resemble more closely the condition of an adult human heart and do not undergo developmental changes as embryonic cell cultures do."}
+{"text": "Spike-timing-dependent plasticity (STDP) is a learning rule that updates synaptic strengths based on the relative timing of pre- and post-synaptic spikes. Unlike rate-based Hebbian learning, STDP can potentially encode fast temporal correlations in neuronal activity, such as oscillations, in the functional structure of networks of neurons that have axonal and dendritic propagation delays. The motivation behind this study was to understand the different ways that spatiotemporal patterns can be learnt by the recurrent connections in a network of neurons with STDP present. This understanding is vital to uncovering the mechanisms by which basic learning and information processing tasks are performed throughout the brain. A specific example in which these mechanisms may contribute is in explaining how the brain can perceive the pitch of complex sounds up to 300Hz. This work employs and builds upon the analytical framework for learning with STDP used in a previous study .In this study, the changes made by additive STDP to synaptic strengths in recurrent networks with axonal delays receiving oscillatory inputs were investigated analytically with the Poisson neuron model and verified through simulations with leaky integrate-and-fire (LIF) neurons. Frequencies between 100-300Hz were considered, which correspond to the modulation frequencies found in the auditory brainstem representing the fundamental frequency of different natural sounds. The analysis and simulations found that connections were selectively potentiated and depressed based on their axonal delay in such a way that the delays of the strong connections in the network \u201cresonated\u201d with the input frequency Figure . The tra"}
+{"text": "We present the case report of a patient presenting with ST segment elevation myocardial infarction due to a subacute drug-eluting stent trombosis within the proximal segment of the left circumflex artery (LCX). Six days before a total chronic occlusion was treated at the mid segment of the LCX by overlapping two drug-eluting stents. Optical coherence tomography (OCT) was helpful to demonstrate stent underexpansion of the overlaping segment as the main mechanism of early stent thrombosis. This case is illustrative about the potential role of OCT to identify the mechanisms of ST and thus guiding the PCI procedure. Moreover, our case shows the capability of the Imagewire to cross a severe stenosis due to stent underexpansion that could not be crossed by the IVUS catheter. A 53-year-old male with a history of arterial hypertension and ex-smoker was admitted into our institution with unstable angina and preserved left ventricular ejection function. Coronary angiography showed multivessel calcified disease with a long calcified lesion in the proximal mid-left descending coronary artery (LAD), chronic total occlusion (CTO) of the mid circumflex artery (LCX) , and a s2) localized in the overlap segment with abundant remnant thrombus proximal and distal to the overlap segment. The proximal and distal segments of the stents presented good apposition and expansion. Progressive dilations of the overlapped segment with oversized noncompliant balloons were performed, but were ineffective to improve distal flow is a life-threatening complication of PCI, with reported 6-month mortality rates of 29\u201345% . Drug-elOCT is a new imaging technique based on the analysis of backscattered near-infrared light that provides ultra-high image resolution 15\u2009microns) and has demonstrated its utility to identify coronary atherosclerotic plaque composition and guide during PCI procedures . This te\u2009microns Our patient presented an STEMI six days after PCI, and angiography revealed ST of LCX. OCT was helpful to demonstrate stent underexpansion of the overlapping segment as the main mechanism of early ST. This case is illustrative of the potential role of OCT to identify the mechanisms of ST and thus guiding the PCI procedure. Moreover, our case shows the capability of the ImageWire to cross a severe stenosis due to stent underexpansion that could not be crossed by the IVUS catheter."}
+{"text": "In 1911 and long before the availability of antiallergic drugs, Leonard Noon demonstrated that prophylactic subcutaneous inoculation with a grass pollen extract was effective in suppressing immediate conjunctival sensitivity to grass pollen . WilliamMajor advances in allergen immunotherapy have resulted from parallel studies performed in the United States. Lowell and Franklin in 1964 were the first to clearly demonstrate that a single allergen (ragweed) in a multiallergen mixture was effective in reducing seasonal allergic symptoms . JohnstoH2 responses in favor of TH1 responses in both the periphery and in target organs has developed in parallel [Our increasing knowledge of the mechanisms of immunotherapy has informed both novel approaches and the development of putative biomarkers that might predict the clinical response to immunotherapy. Prausnitz and Kustner publisheparallel -26.It is paradoxical that 100 years on we continue to use conventional high-dose subcutaneous injection immunotherapy with allergen extracts as gold standard therapy. A key question remains whether either B cell and/or T cell epitopes expressed by allergens are necessary singly or together for successful immunotherapy. Whether T-cell focused therapies alone are sufficient is currently being tested in the context of T-cell peptide immunotherapy ,28. OtheThese novel strategies will hopefully augment efficacy while improving the safety of immunotherapy, thereby making immunotherapy more broadly available to allergy sufferers, including patients with more severe allergic asthma. Further confirmation that immunotherapy has potential to induce remission and prevent progression of allergic disease should attract earlier interventions in children and young adults who are the group who may potentially benefit most from this disease-modifying treatment."}
+{"text": "The default response to protein antigens in the intestine is the induction of systemic and local hyporesponsiveness (OT). There is increasing interest in the role of dietary manipulation and probiotics in the development and prevention of allergic and other diseases. Little is known how the environment and nutritional factors modulate systemic and local immune responses. This presentation addresses immunological mechanisms at the interface of innate and adaptive immunity that determine how the body responds to orally administered proteins and how local microbiota may modify these.There is evidence that dendritic cells in the intestinal mucosa play a particular part in OT induction. They take up dietary proteins, which may be sampled in the lumen and migrate to the draining mesenteric lymph node, where they induce regulatory CD4+ T-cell differentiation. An important role of retinoic acid (Vitamin A) in this event has been identified. The regulatory properties of (tolerised) T cells are discussed and it is proposed that the gut microenvironment maintains homeostasis by conditioning dendritic cells to remain in a quiescent state. Inhibitory signalling via Toll-like-Receptors (TLRs) by commensal bacteria possibly contributes to this process.A regulatory innate and adaptive network controls how dietary antigens are taken up and presented to T lymphocytes by specialized antigen-presenting cells. Elucidating their nature and how they are influenced by external factors, including changes in the host\u2019s microbiota may help develop novel therapies for allergy and help understand diseases such as coeliac disease. Current immunotherapeutic approaches to specific oral tolerance induction (SOTI) will be discussed within the framework of oral tolerance induction in humans. Recent advances in our understanding of oral tolerance, the interactions between the innate and adaptive immune system, and the way in which intestinal microbiota may affect the outcome of intestinal antigen exposure will be addressed."}
+{"text": "The development of next-generation sequencing (NGS) technology opens new avenues for clinical researchers to make discoveries, especially in the area of clinical diagnostics. However, combining NGS and clinical data presents two challenges: first, the accessibility to clinicians of sufficient computing power needed for the analysis of high volume of NGS data; and second, the stringent requirements of accuracy and patient information data governance in a clinical setting.http://www.usegalaxy.org] environment at Amazon with specific versions of the tools used in the workflow. The VM launcher tool can reliably recreate the same virtual machine on several cloud environments. Once a baseline virtual machine is created, the tool can launch any number of clones to analyze samples in parallel. We describe herein a pilot project as an example of a working clinical analysis pipeline. In order to validate the clinical diagnosis of diseases with a genetic cause using NGS data, patient samples were collected by Dr Bharat Thyagarajan and staff at the Molecular Diagnostics Laboratory, University of Minnesota medical center-Fairview. The patient samples were analyzed using customized hybrid-capture bait libraries to boost read coverage in low-coverage regions, followed by targeted enrichment sequencing at the BioMedical Genomics Center. The NGS data is imported to a tested Galaxy single nucleotide polymorphism (SNP) detection workflow in a locked Galaxy virtual machine on Amazon's Elastic Compute Cloud (EC2). This project illustrates our ability to carry out CLIA-certified NGS analysis in the cloud, and will provide valuable guidance in any future implementation of NGS analysis involving clinical diagnosis.Cloud computing is a natural fit for addressing the computing power requirements, while Clinical Laboratory Improvement Amendments (CLIA) certification provides a baseline standard for meeting the demands on researchers in working with clinical data. Combining a cloud-computing environment with CLIA certification presents its own challenges due to the level of control users have over the cloud environment and CLIA's stability requirements. We have bridged this gap by creating a locked virtual machine with a pre-defined and validated set of workflows. This virtual machine is created using our Galaxy VM launcher tool to instantiate a Galaxy ["}
+{"text": "The information processing abilities of neural circuits arise from their synaptic connection patterns. Understanding the laws governing these connectivity patterns is essential for understanding brain function. The overall distribution of synaptic strengths of local excitatory connections in cortex and hippocampus is long-tailed, exhibiting a small number of synaptic connections of very large efficacy. At the same time, new synaptic connections are constantly being created and individual synaptic connection strengths show substantial fluctuations across time. It remains unclear through what mechanisms these properties of neural circuits arise and how they contribute to learning and memory. In this study we show that fundamental characteristics of excitatory synaptic connections in cortex and hippocampus can be explained as a consequence of self-organization in a recurrent network combining spike-timing-dependent plasticity (STDP), structural plasticity and different forms of homeostatic plasticity. In the network, associative synaptic plasticity in the form of STDP induces a rich-get-richer dynamics among synapses, while homeostatic mechanisms induce competition. Under distinctly different initial conditions, the ensuing self-organization produces long-tailed synaptic strength distributions matching experimental findings. We show that this self-organization can take place with a purely additive STDP mechanism and that multiplicative weight dynamics emerge as a consequence of network interactions. The observed patterns of fluctuation of synaptic strengths, including elimination and generation of synaptic connections and long-term persistence of strong connections, are consistent with the dynamics of dendritic spines found in rat hippocampus. Beyond this, the model predicts an approximately power-law scaling of the lifetimes of newly established synaptic connection strengths during development. Our results suggest that the combined action of multiple forms of neuronal plasticity plays an essential role in the formation and maintenance of cortical circuits. The computations that brain circuits can perform depend on their wiring. While a wiring diagram is still out of reach for major brain structures such as the neocortex and hippocampus, data on the overall distribution of synaptic connection strengths and the temporal fluctuations of individual synapses have recently become available. Specifically, there exists a small population of very strong and stable synaptic connections, which may form the physiological substrate of life-long memories. This population coexists with a big and ever changing population of much smaller and strongly fluctuating synaptic connections. So far it has remained unclear how these properties of networks in neocortex and hippocampus arise. Here we present a computational model that explains these fundamental properties of neural circuits as a consequence of network self-organization resulting from the combined action of different forms of neuronal plasticity. This self-organization is driven by a rich-get-richer effect induced by an associative synaptic learning mechanism which is kept in check by several homeostatic plasticity mechanisms stabilizing the network. The model highlights the role of self-organization in the formation of brain circuits and parsimoniously explains a range of recent findings about their fundamental properties. The computations performed by cortical circuits depend on their detailed patterns of synaptic connection strengths. While the gross patterning of connections across different cortical layers has been well described in some cases Self-organization typically relies on a combination of self-reinforcing (positive feedback) processes that are combined with a competition for limited resources. In the context of Neuroscience, an example of a self-reinforcing process may be that correlated firing of two groups of neurons may strengthen synaptic connections between them according to Hebb's postulate of synaptic plasticity, while the strengthened connections will in turn amplify the correlated firing of the neurons. An example for competition for a limited resource may be a synaptic scaling mechanism that limits the sum of a neuron's synaptic efficacies such that one synapse can only grow at the expense of others. The combination of self-reinforcing mechanisms with limited resources often gives rise to the formation of structural patterns, which may or may not have specific functional advantages. Here, we will offer an explanation for fundamental aspects of the fluctuations of synaptic strength and the distribution of synaptic efficacies based on self-organization.Specifically, recent evidence shows that the distribution of synaptic efficacies is highly skewed To investigate whether and how these properties can arise from self-organization induced by neuronal plasticity mechanisms, we have developed a self-organizing recurrent network (SORN) model. It extends a previous model We simulated networks of 200 excitatory and 40 inhibitory neurons for 10,000 time steps and observed the resulting activity patterns and distTo estimate the probability distribution governing excitatory-to-excitatory synaptic strengths we bin connection strengths and divide the number of occurrences in each bin by the bin size. The bin sizes are uniform on the log scale. To mimic experimental procedures decay of connectivity, where a substantial fraction of the excitatory-to-excitatory synaptic weights get eliminated model The network's activity state, at a discrete time The The time scale of a single iteration step in the model corresponds to typical membrane time constants and widths of spike-timing dependent plasticity (STDP) windows \u2014 lying roughly in the range of 10 to 20 ms. Note that in order to save computation time the homeostatic plasticity mechanisms described below are simulated to be much faster than in reality.The network relies on several forms of plasticity: STDP of EE and EI connections, synaptic scaling and structural plasticity of EE connections, and intrinsic plasticity regulating the thresholds of excitatory neurons.The set of Synaptic normalization proportionally adjusts the values of incoming connections to an excitatory neuron at each time step so that they sum up to one:intrinsic plasticity rule maintains a constant average firing rate in every neuron. To this end, a neuron that has just been active increases its threshold while an inactive neuron lowers its threshold by a small amount:An Note that the synaptic normalization and intrinsic plasticity mechanism operate faster in the model than they would in biological brains. This choice is warranted because of a separation of time scales and speeds up the simulations.Structural plasticity adds new synaptic connections between excitatory cells to the network at a small rate, which balances the synapse elimination induced by STDP. With probability Compared to the original SORN model, we introduce two additional forms of plasticity. Inhibitory spike-timing dependent plasticity (iSTDP) adjusts the weights from inhibitory to excitatory neurons to balance the amount of excitatory and inhibitory drive a neuron is receiving. If the inhibitory neuron spikes and the excitatory neuron remains silent in the subsequent time step (the inhibitory spike was \u201csuccessful\u201d in preventing the excitatory cell from spiking), the inhibitory weight is reduced by an amount Equivalently, we can write:Text S1Comparison of SORN weight distribution to experimental data.(PDF)Click here for additional data file.Text S2Parameter robustness analysis and long-term dynamics.(PDF)Click here for additional data file."}
+{"text": "CesA) genes have been shown to be involved in the deposition of primary and secondary walls. In Arabidopsis, three CesA genes have consistently been associated with cells depositing secondary cell walls, while a different set of CesA genes have been shown to function during primary cell wall formation [Reviewed in 1]. These findings have been mirrored by studies of CesA gene orthologs in Populus and Eucalyptus[CesA genes and their functions, much less is known about the regulation of these genes. In a previous study, we investigated the promoters of CesA genes involved in primary and secondary cell wall formation by performing a phylogenetic footprinting analysis to identify cis-elements conserved in the promoters from orthologous Arabidopsis, Populus and Eucalyptus cellulose synthase genes [CesA gene promoters by investigating their conservation across different Eucalyptus species and to determine the regulatory function of these promoter regions and the proteins which bind to them.Cellulose is an important biopolymer produced by all plants and is used in a number of different industries, including for pulp and paper production. Cellulose is deposited into the plant cell wall by a large membrane-bound protein complex, which is composed of different cellulose synthase (CESA) proteins. The cellulose content and pattern of deposition in plant cell walls is highly variable depending on the function of the cell. All plant cells have a thin primary cell wall, but a number of plant cell types, including xylem cells, also deposit a secondary cell wall to give these tissues mechanical strength required to perform their function. Different cellulose synthase promoter for involvement in spatio-temporal regulation by cloning the full-length (2 kb) promoter and a series of truncates thereof upstream of the \u03b2-glucuronidase (GUS) reporter gene. These constructs were used to transform Arabidopsis and Eucalyptus . The GUCesA promoter sequences and cis-elements in 13 Eucalyptus species provided us with valuable insight into the relative conservation of specific promoters regions and the cis-elements within these regions. We found that the overall nucleotide diversity of the promoter sets varied greatly from promoter to promoter, but we could identify regions in the promoters that were as conserved as coding regions. We found that in many cases these localized decreases in nucleotide diversity corresponded to clusters of conserved cis-elements which were identified previously [EgCesA1 promoter. Using GUS expression analysis in Arabidopsis we identified a number of repression and activation sites within the promoter. We also observed a loss of leaf (vein) expression 800 bp upstream. One of the repeat elements fused to the 5\u2019UTR greatly enhanced overall GUS expression in a non-specific way. In a Eucalyptus background (ISSA), six of the seven truncates showed xylem-specific expression, but the 5\u2019UTR and repeat element fusion showed GUS expression in phloem and xylem. These regions have been used to construct bait vectors for Yeast-1-hybrid screening which is still ongoing.Studying the diversity of eviously . This waEucalyptusCesA promoters and cis-elements associated with primary and secondary cell wall formation, (2) investigate the expression patterns of truncated versions of the EgCesA1 promoter using the GUS reporter system and (3) test the EgCesA1 promoter regions affecting gene expression in a yeast-1-hybrid assay to identify possible regulators of this gene. We have identified regions in the promoter that were conserved and corresponded to previously identified cis-elements. Using this information we produced seven promoter truncates and discovered several regions and cis-elements in the EgCesA1 promoter which affect GUS expression patterns. These results will aid in understanding and elucidating transcriptional networks regulating xylogenesis in woody genera such as Eucalyptus.In this study we addressed three main objectives, (1) investigate the evolution of the"}
+{"text": "During speaking, auditory feedback is used to adjust vocalizations. The brain systems mediating this integrative ability have been investigated using a wide range of experimental strategies. In this report we examined how vocalization alters speech-sound processing within auditory cortex by directly recording evoked responses to vocalizations and playback stimuli using intracranial electrodes implanted in neurosurgery patients. Several new findings resulted from these high-resolution invasive recordings in human subjects. Suppressive effects of vocalization were found to occur only within circumscribed areas of auditory cortex. In addition, at a smaller number of sites, the opposite pattern was seen; cortical responses were enhanced during vocalization. This increase in activity was reflected in high gamma power changes, but was not evident in the averaged evoked potential waveforms. These new findings support forward models for vocal control in which efference copies of premotor cortex activity modulate sub-regions of auditory cortex. During normal human speech, speakers modulate their vocalizations to adjust to environmental conditions. For example, during phonation, altering the pitch of real-time auditory feedback a speaker receives results in alterations in the produced voice fundamental frequency To date, investigators have exclusively used non-invasive methods to measure brain activity in human subjects during vocalization-playback experiments using the subjects' own voice. Scalp electroencephalographic (EEG) and magnetoencephalographic (MEG) recordings have shown a reduction in the amplitude of auditory evoked responses when subjects vocalize compared to when they quietly listen to a recording of these same vocalizations The current experiments were carried out in order to directly measure the effects of vocalization on speech-sound processing by taking advantage of the high spatial resolution of implanted intracranial electrodes in neurosurgery patients undergoing epilepsy surgery. By recording evoked brain activity from electrode arrays placed on the lateral superior temporal gyrus (STG) it is feasible to study electrophysiological activity from auditory cortex with a combined spatial-temporal resolution that cannot be achieved using non-invasive methods. We used this recording approach during vocalization-playback experiments to test the hypothesis that vocalization-associated changes in speech sound processing occur mainly within localized areas of human auditory cortex and the overall nature of these changes would be attenuation. This hypothesis, which is an element of some forward models The subjects (N\u200a=\u200a10) in this report were patients undergoing surgical treatment of medically intractable epilepsy who volunteered to participate in this research protocol. Their ages ranged from 20 to 62 years (mean 35.6 yrs). Written informed consent was obtained from each subject and all research protocols were approved by the University of Iowa Human Subjects Review Board. Subjects did not incur any additional medical risks by participating in these studies.Each subject completed an extensive pre-surgical assessment including detailed neurological examination, brain imaging , and neuropsychological evaluation. These tests confirmed normal speech and language functions in all subjects. No anatomic lesions were observed in the frontal lobe or temporal lobe auditory cortex in any subject. Standard audiometric testing was conducted and all patients were found to have normal hearing. All but one subject underwent preoperative sodium amobarbital (WADA) testing As part of a standard multi-disciplinary epilepsy surgery evaluation and treatment protocol, each subject was deemed to be an appropriate candidate for surgical placement of intracranial multi-contact recording arrays for the purpose of recording and anatomically localizing seizure events. During an implantation operation, custom manufactured high-density electrode arrays (see below) were placed on the pial surface of the exposed brain regions. The electrodes remained in place during a 14-day hospital stay during which time the patients underwent continuous video-EEG monitoring. This high-resolution EEG monitoring confirmed that the peri-Sylvian cortical areas pertinent to this study did not show abnormal inter-ictal activity. At the completion of the monitoring period, the electrodes were removed and the seizure focus was resected. Resections in all 10 cases were restricted to the anterior temporal pole and mesial temporal lobe structures. The resections did not involve the STG. The surface recording arrays consisted of platinum-iridium disc electrodes embedded within a silicon sheet with 5 mm center-to-center spacing and 3 mm contact diameter . In eight subjects the high-density recording grid consisted of 96 contacts, while one had a 64-contact high-density grid. One subject received a 32-contact low-density grid (1 cm center-to-center contact spacing). Separate electrodes were implanted in the subgaleal space over the vertex to serve as reference contacts. The exact position of each recording electrode was localized using a combination of high-resolution digital photographs taken intra-operatively during electrode placement and removal, as well as thin-cut (1 mm) pre- and post-implantation MR and CT scans. Pre- and post- implantation MRIs were co-registered using a 3-D rigid-fusion algorithm implemented in Analyze software Acoustic stimuli were presented during two separate sessions; a self-vocalization (SV) session and a passive listening session. For both sessions, the subject was resting comfortably in their hospital bed or a recliner. During the SV session, each subject was instructed to speak the same utterance (e.g. \u201cbirthday\u201d) in a consistent manner using a normal, conversational speech intensity and rate, with an approximate two second interval between utterances. The entire vocalization session, consisting of approximately 50 utterances, was captured and recorded using a microphone held by the subject approximately one inch from their mouth using the hand ipsilateral to the brain hemisphere from which recordings were obtained. In the PB condition, the recorded utterance was played back via a pair of headphones placed in custom-fit, vented insert ear molds. The subjects heard their own vocal production that was amplified , passed unaltered through a harmonizer and routed back to the headphones. The harmonizer was controlled with MIDI software by a standard laboratory computer. The contribution of bone conduction during the SV block cannot be measured or manipulated; therefore we used a strategy employed by previous investigators to determine whether the sound intensity of stimuli could account for any observed differences in evoked responses Details of the electrode implantation method and data acquisition techniques used have been described previously Digitized voice signals were recorded simultaneously with the evoked brain responses using the TDT system to provide a common time scale for both the evoked cortical responses and voice signals. Stimulus-evoked potentials were created using a back-averaging method whereby the voice onset of each utterance was manually identified in the sound waveform using a thresholding technique. As the time intervals between the individual utterances were identical for both SV and PB conditions, the same voice onsets identified in the SV task were used for the PB task. From these onsets, individual trials of data blocks were created to evaluate brain activity before and after each voice onset. All individual voice and brain recording trials were manually inspected and discarded if artifacts were noted. The remaining trials were then averaged to create AEPs for eachP-values to reflect these multiple comparisons. The MANOVA procedure was preceded by a principal component analysis (PCA) in order to reduce the dimensionality of the data vectors Statistically significant differences in evoked responses were determined using an analysis of variance method comparing responses recorded during the SV and PB conditions, for each electrode site, and for both AEP and HGB power responses. In the current experiments, the dependent AEP (or HGB power) measurement was treated as a multivariate response and assumed to be sampled from a multivariate distribution Two different analysis window durations were utilized when making statistical comparisons between brain responses during the SV and PB conditions. The AEPs observed on STG were found to have a polyphasic morphology with components extending to 500 ms beyond the onset of the utterances e.g. and 4A, Analysis of the electrophysiological data using both AEPs and HGB ERBP has revealed consistent response patterns throughout our series of ten subjects. Findings from a representative subject with electrodes over the left, language-dominant hemisphere are presented in Examination of this subject's ERBP responses demonstrated a similar pattern of anatomic localization of sites showing significant changes across the two conditions . Again, All subjects with grids that covered adequate portions of the STG anterior and posterior to the lateral boundary of the TTS demonstrated a discrete area of activation where either the AEP or ERBP responses varied significantly between the SV and PB conditions. Findings from a subject with right hemisphere, non-language dominant electrode implants, and partial STG coverage, are shown in Variations across brain sites were also seen in the high gamma responses in this subject R149, . The samRegional STG response differences, with clear variation seen between sites located only millimeters away from each other, were observed in all subjects. Every subject in this series had at least one site on lateral STG that demonstrated either an increase in HGB power during SV compared to PB, or a categorical change in HGB response type with an \u201conset\u201d response during PB and a \u201csustained\u201d response during SV. Exemplars of such response-type changes are shown in Results evaluated across the entire subject series (N\u200a=\u200a10) demonstrate an overall similar pattern of responses along the lateral STG. In both left and righThe response patterns seen across these 10 subjects show that there are a larger number of temporal lobe sites demonstrating significant vocalization-induced changes in the AEP responses than sites that show significant HGB power changes ,8A. The There is marked variability in the proportion of recording sites capturing responses that were significantly different for the SV and PB conditions. The degree to which specific recording results vary across experimental subjects likely results from small differences in electrode grid locations and the known inter-subject variability in the locations of specific auditory fields relative to gross anatomical landmarks. In some subjects, and during some experiments, the signal-to-noise ratio of auditory evoked responses to all classes of auditory stimuli was reduced as a result of increased electronic noise levels. In other instances, the number of effective stimulus presentations during an experimental session was reduced as a result of post-hoc rejection of artifact contaminated epochs. These factors contributed to a relative loss of statistical power in experiments performed in left hemisphere subjects 164, 173, and 178 and right hemisphere subject 175. In addition, subject 173 demonstrated overall diminished auditory cortical responses to other acoustic stimuli during other experimental sessions.The results of the current experiments provide the first directly recorded electrophysiological evidence of vocalization-induced activity associated with speech-sound processing within human auditory cortex. The effects were predominantly suppressive in nature, consistent with reports from earlier experimental animal and non-invasive human studies. New findings include the observations that vocalization-associated effects occur within relatively-circumscribed regions of the lateral superior temporal gyrus, and activation at some STG sites is enhanced during vocalization. Changes were observed in both AEP and HGB power, but the results are not identical for these two different measures of brain activity.Normal hearing humans continuously make use of auditory information to adjust their vocalizations and optimize speech communication. A wide range of experimental approaches has been used to investigate the neural systems that subserve this sensory-motor integration in humans. One model postulates that when humans vocalize, the vocal motor system produces a motor speech template, or efference copy, that is utilized within auditory cortex to compare the auditory stimuli that is actually heard during vocalization, with the vocalization that the motor system intended to produce Our most detailed understanding of how auditory cortical neurons change their firing patterns during vocalization comes from experimental animal studies. In this setting, action potentials generated by individual auditory cortex neurons can be recorded using microelectrodes. This invasive method has been used extensively to study the basic functional properties of auditory cortical neurons in various species; however, it is very difficult to obtain these recordings in awake, vocalizing animals. The first reported microelectrode experiments of this type did not rely on spontaneous vocalizations, but relied instead on electrical stimulation of the brainstem central gray matter to evoke vocalizations in the squirrel monkey Auditory cortical microelectrode recordings in non-human primates obtained during spontaneous vocalizations have only recently been reported Investigators face unique challenges when seeking to pursue a similar experimental strategy in humans. Unlike monkeys, humans can be easily trained to perform vocalization tasks. However, safety considerations limit the types of human brain recording methods. Vocalization-induced changes in auditory processing have been characterized using non-invasive scalp EEG and MEG methods A number of lines of evidence suggest that the effects of vocalization will differ for different areas of human auditory cortex and that high-resolution recording methods are required to characterize this organizational pattern. Extrapolating from anatomical and physiological data derived from experimental animal studies, and more limited human studies, it is hypothesized that human auditory cortex is comprised of ten or more fields organized into core, belt and parabelt groups The current experiments were designed to examine this hypothesis directly using the opportunity to record from auditory cortex on the lateral STG of neurosurgical patients. By recording brain activity using electrode arrays positioned on the pial surface it is possible to examine responses with a high degree of spatial and temporal resolution. The results consistently demonstrated circumscribed areas of cortex along the lateral STG where responses differed during the self-vocalization and vocal playback conditions. The most consistently identified area was overlying the lateral terminus of the transverse temporal (Heschl's) sulcus (TTS). In this area, the amplitude of AEPs and HGB power were most often diminished during the SV condition. In some cases, there was intervening cortical tissue within this area of the STG that was acoustically responsive, but not significantly altered by vocalization.suppressive in nature, there were also clear examples of small areas of STG where HGB power was markedly increased during SV compared to PB. In those instances, the vocalization-induced increase in HGB power was not accompanied by amplitude increases of the average evoked potential and the effects of vocalization were only detected by analyzing bandpass power changes. This finding emphasizes the importance of analyzing both the phase-locked and non-phase locked activity recorded from intracranial electrodes, as previously reported by Crone and others Although the dominant vocalization-related effect was when vocalization-associated effects occur within auditory cortex. Single unit recordings obtained in marmoset auditory cortex clearly demonstrate that suppressive effects of vocalization begin more than one hundred milliseconds prior to onset of vocalization One of the questions that investigators seek to address with vocalization-feedback experiments is The recording montages used during MEG and EEG experiments are standardized across subjects and measure the summed activity of large populations of neurons. With these methods the waveform morphologies of auditory evoked potentials are well characterized with features that can be reliably identified and compared across subjects, and investigators have described vocalization-associated changes in amplitude and latency of the averaged auditory evoked potentials. This same approach is less well suited to the analysis of the current data set for a variety of reasons. The first is the large magnitude of the vocalization effect observed in the current study. In contrast to non-invasive studies where modest changes are observed in the averaged evoked waveforms, many of the responses recorded directly from STG are entirely absent during vocalization, or so severely attenuated that waveform components cannot be compared across the SV and PB conditions. The second factor that complicates this analysis is the high degree of variability observed in the AEP waveforms recorded from different sites along the STG. The AEP waveform recorded from the focus of maximum response within area PLST has been described previously and can be consistently identified across subjects, but this represents only a small portion of the STG from which auditory evoked responses are obtained in the current experiments on\u2019 response. A different, \u2018sustained\u2019 HGB response pattern was also observed whereby increases in power were maintained throughout the duration of the vocalization. At brain sites where vocalization was associated with diminished HGB power, this suppression was typically manifest as a decrease in the magnitude of the power throughout the response, without an obvious change in the overall temporal pattern of the response (Vocalization was also associated with alterations in the temporal patterns of HGB changes. These findings cannot be directly compared with previous studies because this is the first report where HGB power was directly measured in a vocalization-playback experiment using the subject's own voice. The temporal patterns of HGB power changes were complex and varied by vocalization condition, and location along the STG. The duration of the power changes also varied significantly for different brain sites and conditions. One commonly observed response type was characterized by a transient increase in HGB power soon after stimulus onset, consistent with an \u2018response . In contresponse . The strIn almost all cases, the onset of HGB power changes occurred after stimulus onset. In rare instances, power changes occurred prior to vocalization, but these sites did not conform to a consistent anatomical pattern across subjects and the significance of this finding is uncertain. This observation contrasts with the unambiguous findings in marmosets where suppression of neuronal firing was observed prior to vocalization onset A number of caveats must be considered when interpreting the results of the current experiments. Invasive recordings in humans allow investigators to record electrophysiological events with a degree of combined spatial-temporal resolution that cannot be achieved using non-invasive experimental approaches. However, the intracranial electrodes cover only a portion of auditory cortex. The effects of vocalization on auditory processing within presumed core and belt fields located in the supratemporal plane cannot be studied using electrodes positioned over the lateral STG. Also, direct recordings are only obtained from one hemisphere in each subject, precluding the ability to make within-subject comparisons of simultaneously recorded responses in right and left hemispheres.There are also limitations inherent to the SV versus PB experimental protocol irrespective of the brain recording method used. One is the assumption that the subject hears the same acoustic stimulus during both SV and PB conditions. In fact, the acoustic signals activating the cochlea are not identical in the two conditions. During vocalization, a portion of the total acoustic signal is conducted through bone and soft tissue and is attenuated and spectrally filtered before it reaches the cochlea. This bone-conducted signal cannot be precisely measured and therefore cannot be exactly replicated during playback Another limitation of the SV versus PB experimental design is that only certain aspects of the forward model are tested. The data in the current report, for example, provide no information concerning the stimulus specificity of the vocalization-associated alterations observed within auditory cortex. Other investigators, using non-invasive recording methods, have probed the specificity of response changes by altering the acoustic properties of the feedback stimulus and examining how brain responses are affected by induced mismatches between the intended vocalization and the speech signal heard by the subject"}
+{"text": "The results of these studies showed important differences in the serological findings of the two strains as reflected by the much higher numbers of MPs with bound IgG in the blood of MRL-lpr/lpr compared with NZB/W mice. These studies also showed that antibodies from MRL-lpr/lpr mice bound much better to MPs from apoptotic cells than those from NZB/W mice. Since particles in NZB/W blood bound to monoclonal anti-nuclear antibodies as well as MRL-lpr/lpr plasma, these findings indicate antigenic activity despite the lack of particle IgG complexes in NZB/W blood. Together, these studies indicate important differences in the serological features of the two strains as reflected by the capacity of antibodies to bind to MPs. These differences may impact on the process of immune complex formation and its consequences as well as the respective role of anti-DNA and other autoantibodies in nephritis in NZB/W mice.Systemic lupus erythematosus is a systemic inflammatory disease characterized by anti-DNA production in association with immune complex deposition. These complexes can deposit in the tissue to incite inflammation as well as stimulate cytokine production by plasmacytoid dendritic cells. While the properties of anti-DNA antibodies have been extensively characterized, little is known about the nature of the DNA in the immune complexes although its origin is generally considered to be cell death. Among sources of extracellular DNA, microparticles (MPs) are small membrane-bound vesicles released from activated and dying cells by a blebbing process. As shown by flow cytometry, these particles display DNA as well as other nuclear molecules in an antigenically accessible form as indicated by the binding of monoclonal anti-DNA antibodies as well as plasma from patients with lupus. Furthermore, plasma from patients with lupus contains increased number of particles with bound IgG, suggesting that MPs can form immune complexes found in lupus. To assess whether MPs play a similar role in murine lupus, we used flow cytometry to measure the presence of MPs with bound IgG in the blood of MRL-"}
+{"text": "Autonomous transcription of integrated retroviruses strongly depends on the genetic and epigenetic effects exerted by chromatin at the site of integration. These effects are mostly suppressive and proviral transcription can be ultimately silenced by mechanisms such as DNA methylation and histone modifications. Transcriptional silencing is a general feature of integrated retroviruses, however, the extent and frequency varies among the retroviral species. On that account, features determining the activity of individual integrated proviruses need to be identified.To address the role of the integration site at the whole-genome-scale, we performed clonal analysis of provirus silencing with an ASLV-derived and a HIV-derived reporter vectors and correlated the transcriptional silencing with the epigenomic landscape of the respective integrations. The analysis was performed in the human K562 cell line and particularly in HCT116-derived DNMT-deficient cell lines in order to analyse the role of DNA methyltransferases in the provirus silencing.de novo DNA methyltransferase activity [Dnmt3a-/- Dnmt3b-/- cells. The silencing of proviruses within the transcribed regions of genes is accompanied by DNA methylation of long terminal repeats and dependent on the presence of de novo DNA methyltransferases. Converse, silencing in intergenic regions is DNA methylation-independent.We demonstrate efficient provirus silencing in human K562 and HCT116 cell lines, which is strongly but not absolutely dependent on the Since CpG islands were reported as DNA methylation-resistant genomic regions, we designed an ASLV-derived reporter vector modified by insertion of the CpG island core element into itsThese findings indicate that the epigenomic features of integration sites are crucial for their permissiveness to the proviral expression. Both ASLV and HIV proviruses require similar epigenomic environment for their stable expression and the increased frequency of stable HIV proviruses is probably the result of the integration preference, which favours permissive genomic regions."}
+{"text": "Discontinuation of drug intake in cocaine abusers commonly produces a variety of adverse withdrawal symptoms among which anxiety and depression-related behavior are prevailing during the initial period of abstinence. The aim of this study was to provide further insight into the neurobiological dysregulations that might contribute to these pathological states. Rats were treated with cocaine or saline for 14 days and anxiety-related behavior was assessed in different paradigms (elevated plus-maze (EPM), confinement to an open arm of the EPM and shock-probe burying tests) for up to 4 weeks after withdrawal. Depression-like behavior was assessed by the forced swim test and sucrose preference test. Altogether our results demonstrated that cocaine withdrawal induced persistent heightened levels of anxiety that last for at least 28 days but did not affect depression-like behavior. We then used Fos immunohistochemistry to map neuronal activation patterns in withdrawn rats confined to one open arm of an EPM, and a double labeling procedure using Fos immunohistochemistry and in situ hybridization of glutamic acid decarboxylase or vesicular glutamate transporter mRNAs to identify the phenotype of the activated neurons. Our data showed that the exacerbated anxiety observed in cocaine withdrawn rats exposed to an elevated open arm was accompanied by an altered reactivity of the dorsal part of the medial prefrontal cortex , the paraventricular thalamic nucleus and the lateral and anterior areas of the hypothalamus. In the medial prefrontal cortex, we evidenced a negative correlation between Fos expression in its dorsal part and open arm-induced freezing in NaCl-treated rats but not in cocaine withdrawn rats. We also found that more than 65% of activated neurons were glutamatergic projection neurons. The present study provides new insights into the neuroanatomical regions and neuronal cell types that may underlie pathological anxiety during cocaine withdrawal. Cocaine addiction is a chronic brain disorder characterized by compulsive drug use and high risk of relapse. Like other drugs of abuse, cocaine induces both powerful positive reinforcing effects and negative affective states that emerge when access to the drug is prevented. Indeed, discontinuation of drug intake in cocaine abusers commonly produces a variety of adverse withdrawal symptoms, among which sleep disturbances, anxiety and depression-related behavior are prevailing during the initial period of abstinence The mechanisms and brain regions underlying dysfunctional aspects of anxiety processing in cocaine abstinent abusers are still poorly understood. Human and animal studies on the processing of negative emotions such as anxiety have implicated several medial prefrontal cortex (mPFC) regions and a set of limbic structures which includes the amygdala, insula as well as interconnected structures such as the hypothalamus In order to address this issue, we first assessed in rats anxiety-like behavior in different paradigms (elevated plus-maze (EPM), confinement to an open arm of the EPM and shock-probe burying tests) for up to 4 weeks after withdrawal from chronic cocaine treatment. In addition, we concomitantly assessed depression-like behavior by the forced swim test and sucrose preference test. Indeed, although the anxiogenic and depressive-like properties of cocaine withdrawal have been documented in numerous animal studies ad libitum. Once a day for 5\u20137 days before the treatment, rats were handled for few minutes to reduce the stressful effects of handling. All experiments were performed between 9:30 AM and 5:00 PM.Male Sprague-Dawley rats weighing 200\u2013225 g upon arrival were housed in groups of four and maintained in a temperature-controlled environment on a 12-hour light/dark cycle (lights on at 7:00 AM) with access to food and water Every effort was made to minimize animal suffering and the number of animals used. All experimental procedures were performed in accordance with the European Community Council Directives (86/609/EEC) and the French guidelines (Act 87\u2013848 Minist\u00e8re de l\u2019Agriculture) on the care and use of laboratory animals. Authorization to conduct experiments on alive animals was obtained from the Direction d\u00e9partementale des services v\u00e9t\u00e9rinaires du Rh\u00f4ne (authorization number 69266242).Rats were administered cocaine hydrochloride or saline (0.9%) in their home cage once a day for 14 days as previously described Independent groups of rats were used for each behavioral test and for each period of withdrawal.A Plexiglas EPM consisting of two open (50\u00d710 cm) and two enclosed (50\u00d710\u00d740 cm) arms with a black floor and arranged such as the open arms were opposite to each other was used. The maze was elevated 65 cm above the floor and located inside an isolated room with 10 lux of luminosity in the central zone.Rats were placed in the central zone facing an open arm and their behaviors videotaped during the 5-min test period. The behavioral parameters scored were the number of entries and the time spent in the open and closed arms . Exploratory movements of the head (head-scanning) and immobility times were also monitored.For this test, one open arm of the EPM was isolated from the central zone and the closed arms of the maze by a 40 cm high wall. The open arm was divided into two equal parts, one proximal and one distal in relation to the high wall. Rats were placed in the middle of the open arm facing the open space. The behavioral parameters scored during 5 min were the time spent in the distal zone of the open arm, the number of rearing, and the time spent head-scanning and freezing (defined as complete immobility with the exception of respiratory-related movements).The apparatus consisted of a Plexiglas cage covered with 5-cm deep standard bedding material. A removable, electrified probe was placed through a hole 2 cm above the bedding material and was connected to a Coulbourn precision shocker calibrated to deliver a shock of 0.5 mA whenever the rat touched it with a forepaw or the snout.Rats were habituated (3\u20134 cage mates together) to the apparatus in the absence of the shock probe for 1 h each day for two consecutive days. On the third day, rats were tested individually with the electrified probe in place. Five min after the first shock, the current was turned off and the behaviors scored offline for 15 min following the first shock by an observer unaware of the treatment. Parameters measured were the duration of burying, the latency to return to the probe after the first shock and the total duration of immobility.Anhedonia was assessed daily during exposure to cocaine and withdrawal by way of the sucrose preference test. Briefly, rats were housed in a single cage and were presented with two pre-weighed bottles containing either a sucrose solution or tap water. Water and sucrose consumption were measured at 10:00 AM each testing day at which time the position of the sucrose bottle (left or right) was reversed to control for side preference. Sucrose preference was calculated as the ratio of sucrose intake to total fluid intake (weights per 24 h).The procedure was similar to that described previously Two hours after the onset of the open arm test, animals were deeply anesthetized with sodium pentobarbital and transcardially perfused with saline followed by 4% paraformaldehyde. Free-floating coronal brain sections (30 \u00b5m thick) were processed using a standard immunohistochemical procedure as previously described Rats were assigned to four groups: cocaine-treated rats and saline-treated rats exposed to the open arm; cocaine-treated rats and saline-treated rats taken in their home cage to the experiment room but not exposed to the open arm. In each experiment, sections from rats of the four groups were immunolabeled at the same time.The antisense glutamic acid decarboxylase (GAD) probe Images were captured using a light microscope equipped with a digital camera . All images were imported into Adobe Photoshop, adjusted for contrast and luminosity and assembled into plates.Bright field images of sectioned material were viewed with a Zeiss Axioskop 2 microscope equipped with an X/Y sensitive stage and a video camera (Lumenera Infinity 2) connected to a computerized image analysis system . The planes of the analyzed sections were standardized according to the atlas of Paxinos and Watson 2 was then determined and used to calculate the group means and for statistical analyses.The quantification was carried out by first delineating the brain sections and the regions of interest (ROI) at low magnification (\u00d7 4 objective). The ROI outlines were further refined under a \u00d7 10 objective and labeled cells then counted manually by an observer blind to the experimental groups. For each rat, at least two sections per structure were quantified bilaterally. The density of labeled cells per mmU test for pairwise comparisons. Correlations between Fos expression in each of the four sub-regions of the mPFC and the different behavioral scores were calculated according to the Spearman method. The sucrose consumption data were analyzed by a two-way ANOVA with one between-subject factor (treatment) and one within-subject factor (time). The level of significance was set at p<0.05. All values were expressed as mean \u00b1 SEM. Staview software was used for these statistical analyses.Since our data do not meet the assumptions of normality, they were analyzed by a non parametric Kruskal-Wallis test followed by a Mann-Whitney Our results showed that cocaine- and saline-treated rats display no major significant differences in anxiety-related parameters in the EPM after 2 days of withdrawal. No difference was observed in the total number of entries in the open arms , in the percentage of time spent in the open arms or in thThe absence of differences in anxiety-related behavior between cocaine- and saline-treated rats in the EPM led us to postulate that a more anxiogenic environment, such as confinement to the open arm Finally, cocaine-treated rats were tested during withdrawal in another well-validated model of anxiety, the shock-probe burying test, allowing the investigation of different aspects of anxiety-induced behavioral reactivity. After receiving a shock from the electrified probe, rats may exhibit a passive or avoidance behavioral response (immobility) or an active defensive burying behavior directed at the probe. At 2 days of withdrawal, periods of time spent burying the probe were less and periods of immobility longer in cocaine-treated rats compared to saline-treated rats . This in1,10\u200a=\u200a0.89; ns) or throughout the following 28-day withdrawal period for 2 days in order to define the concentration allowing an increase or a decrease in sucrose consumption to be measured Inset . The suc.10; ns) . In the .10; ns) .Possible alterations in brain reactivity of cocaine withdrawn rats were explored with the expression of the immediate early gene Fos as a marker of neuronal activation. Brain structures were selected on the basis of their relevance to anxiety-related behaviors 2), except in the piriform and primary visual cortices and the paraventricular thalamic nucleus where the densities of Fos-expressing cells were around 600 positive cells/mm2. There were no significant differences between saline- and cocaine-treated rats in these regions , ventral orbital and piriform cortices in both groups of rats whereas there was no change in the primary visual cortex . Two of In subcortical areas, open arm exposure enhanced the density of Fos-expressing cells in the paraventricular thalamic nucleus, hypothalamus , amygdala and ventral subiculum in both groups of rats . It shouIn cocaine withdrawn rats, Fos response to open arm exposure was lower only in 3 of these quantitatively evaluated areas: the paraventricular thalamic nucleus (31% reduction), the anterior (29% reduction) and lateral (46% reduction) areas of the hypothalamus . In otheThe dorsal mPFC is one of the brain regions that exhibited the highest reactivity to open arm exposure and a region of high relevance in anxiety processing and anxiety disorders. We thus went further into the cellular analysis of cocaine-induced alterations in this cortical area.We first ensured that the decrease in Fos-expressing cell densities observed in cocaine withdrawn rats was not altered by cortical structural changes in terms of neuronal (NeuN-expressing cells) or astroglial cell (GFAP-expressing cells) packing densities . Our resWe then sought to determine the phenotype of the cortical Fos-activated neurons. Double labeling of Fos-labeled cells with vGlut1 mRNA or GAD mRNA indicateFinally, we examined if there was a correlation between Fos expression in the different subdivisions of the mPFC and the behavioral data obtained in the open arm. Interestingly, we found a significant and selective negative correlation between Fos expression in the cingulate , dorsal prelimbic cortices and the time spent freezing in NaCl-treated rats. This negative correlation was disrupted in cocaine withdrawn rats.Two major findings have emerged from the present study. First, we showed that cocaine withdrawal had a sustained effect on anxiety-related behavior, particularly that in response to highly challenging situations. In contrast, the same treatment did not affect depression-like behavior suggesting that in our experimental conditions, cocaine had a more profound effect on the mechanisms involved in anxiety regulation than those involved in mood regulation. Second, our anatomical data provide new insight into the neural substrates that may underlie pathological anxiety during cocaine withdrawal. Indeed, we showed that exacerbated anxiety observed in cocaine withdrawn rats placed in an anxiogenic environment was accompanied by dysfunctions within a restricted set of neuroanatomical regions including the dorsal mPFC and anatomically-related subcortical regions such as the paraventricular thalamic nucleus and specific regions of the hypothalamus.Our behavioral data increased our knowledge on the affective states induced by withdrawal from chronic cocaine exposure in rodents. While several studies have already reported a similar elevation of anxiety-related behavior in rodents exposed to the EPM These behavioral findings suggest that cocaine-induced neuroadaptations contribute to long-lasting impairment in the ability to cope with anxiogenic or stressful situations following drug exposure and withdrawal. They support previous observations indicating that persistent heightened levels of anxiety are expressed after protracted withdrawal periods when rats are placed in highly challenging situations such as that during the defensive burying test procedure In contrast, we found no alterations in behavior related to depression. We observed no evidence of helplessness or anhedonic states during withdrawal, two different aspects of depression that were respectively assessed by the forced swim test and the sucrose preference test. Previous data addressing this issue have yielded equivocal results, with some reporting no change To the best of our knowledge, no previous anatomical study has directly addressed the identification of the neural circuit dysfunctions underpinning the impaired expression or regulation of anxiety observed during cocaine withdrawal. Previous studies aiming at characterizing the neurobiological substrates of cocaine-induced anxiety have focused on the action of different receptors such as corticotropin-releasing factor This specific neuroanatomical effect in cocaine withdrawn rats is a novel finding of interest in many respects. Our results are in line with observations made in two other rodent models of pathological anxiety, high anxiety BALB/c mice The differential effect of cocaine withdrawal on the reactivity of the dorsal and ventral subdivisions of the mPFC is relevant in regard to the complex organization of this structure. Anatomical and functional studies have demonstrated a dorsoventral gradient along the mPFC, with the dorsal part primarily interconnected to regions that reportedly affect cognition, and the ventral part connected to autonomic/visceral related regions Our animal model also allowed us to go further into the cellular analysis of cocaine-induced alterations in the mPFC without the confounding obstacles commonly encountered in human studies such as polydrug abuse, premorbid psychiatric conditions and variable drug history. Since previous studies have reported the remodeling of cortical neuron dendrites Although Fos is considered as a generic marker of acute neuronal activation and/or changes in cellular signaling In conclusion, the present study provides new insights into the neuroanatomical regions and neuronal cell types that may underlie cocaine-induced disruption in ability to cope with highly anxiogenic situations. Our observations reinforcing the potential importance of the PFC in the negative sequelae of chronic cocaine exposure is in consonance with previous studies reporting neuroadaptations in cortico-striatal-limbic circuits that underlie behavioral and cognitive aspects of cocaine dependence"}
+{"text": "Acanthopagrus australis and Rhabdosargus sarba. The preference for a range of habitats by theses sparid species is evident by their detection on sand-flat, natural rocky reef and artificial reef habitats. The fish assemblage identified on the artificial reefs remained distinct from the adjacent rocky-reef, comprising a range of species drawn from naturally occurring rocky-reef and sand-flat. In addition, some mid-water schooling species including Trachurus novaezelandiae and Pseudocaranx georgianus were only identified on the artificial reef community; presumably as result of the reef's isolated location in open-water. We concluded that estuarine artificial reef assemblages are likely to differ significantly from adjacent rocky-reef, potentially as a result of physical factors such as reef isolation, coupled with species specific behavioural traits such as the ability of some species to traverse large sand flats in order to locate reef structure, and feeding preferences. Artificial reefs should not be viewed as direct surrogates for natural reef. The assemblages are likely to remain distinct from naturally occurring habitat comprised of species that reside on a range of adjacent natural habitats.If the primary goal of artificial reef construction is the creation of additional reef habitat that is comparable to adjacent natural rocky-reef, then performance should be evaluated using simultaneous comparisons with adjacent natural habitats. Using baited remote underwater video (BRUV) fish assemblages on purpose-built estuarine artificial reefs and adjacent natural rocky-reef and sand-flat were assessed 18 months post-deployment in three south-east Australian estuaries. Fish abundance, species richness and diversity were found to be greater on the artificial reefs than on either naturally occurring reef or sand-flat in all estuaries. Comparisons within each estuary identified significant differences in the species composition between the artificial and natural rocky-reefs. The artificial reef assemblage was dominated by sparid species including Artificial reef development in south-east Australia has followed a similar pattern to the evolution of artificial reefs projects worldwide. During the 1960 s, artificial reefs were deployed within estuarine systems as they were cheaper to construct and typically provided proximate and economic access More stringent environmental regulations, combined with a growing body of research into how artificial reefs and fish assemblages interact Assessing the performance of an artificial reef is dependent on accurately monitoring the fish assemblages at both artificial and suitable naturally occurring habitats Most studies of estuarine artificial reefs have focussed on comparisons with non purpose built artificial reef structures such as revetment walls To provide a quantitative comparison of fish assemblages associated with artificial reefs with adjacent natural habitats in three south-east Australian estuaries, baited remote underwater video (BRUV) data was selected from a summer to autumn period (Dec \u2013 May), 12\u201318 months post artificial reef construction. The predicted hypothesis based on previous studies that have investigated and compared artificial structure assemblages with those assemblages found on natural reef habitat is that after a minimum of 1 year post artificial reef deployment, the assemblage identified on the artificial reef would be comprised of a similar suite of species to those found on the natural rocky-reef. However the proportional distribution of assemblages associated with artificial reefs when compared to the rocky-reef would vary as an artefact of reef type, location and age. Hence, the aims of the study were to (i) identify dominant species and family groups, and; (ii) investigate the ability of the artificial reefs to support an assemblage comparable to those identified on the natural rocky-reef and to provide surrogate habitat to the broader estuarine fish community.All field studies outlined in this paper were authorised under a scientific research permit (permit No: P01/0059) issued by the NSW Department of Primary Industries under section 37 of the Fisheries Management Act 1994. This permit authorises the collection of fish in all waters of NSW. The estuarine sites sampled with baited remote under water video (BRUV) were not privately owned or protected and no endangered or protected species were involved in this study. All fish observations using BRUV was carried out in an ethical manner and no fish were euthanased as part of this study.The artificial reefs were constructed as part of a larger study to investigate the use of artificial reef in three coastal estuaries along Australia's south east coast in the State of New South Wales Reef location was determined through extensive constraints mapping of existing habitat, suitability of bottom type and depth for safe navigation and consultation with existing user groups. Final reef position within all three estuaries reflects these constraints and the experimental design was required to also accommodate these points.\u00ae) were divThe Lake Macquarie artificial reefs were deployed approximately 180 m apart in depths ranging from 4.5 m to 6 m. The Botany Bay artificial reefs were deployed over a larger area with the distance between reefs ranging from 200\u2013500 m apart in depths ranging from 8 m to 14 m. The close proximity of BBAR1 and BBAR2 to an existing large port revetment wall led to the rapid accumulation of sediment and subsequent burial of these two reefs during the early stages of the project; thought to be a result of increased wave action and sand mobilisation, caused by wave refraction off the wall. As a result, only BBAR3 \u2013 BBAR6 have been included in this study. The six reefs deployed at the St Georges Basin site were deployed approximately 400 m apart in depths ranging from 4.5 m to 5.5 m. Three representative natural reef control sites and three sand-flat controls were additionally selected in each estuary.Samples were taken on randomly selected days six times per season . To enable a detailed examination of the assemblage structure between artificial reef and natural habitats, while also allowing comparisons between estuaries only a combined summer/autumn season spanning approximately 6 months was analysed in each estuary. . Reef age of the replicate artificial reefs constructed across the three estuaries was consistent in terms of the age and season of the data analysed. However due to variations of deployment times (T0) as a result of disparity in the individual consents for reef construction in each estuary and funding being allocated for reefs construction over a 3 year period, exact deployment and hence reef age could not be controlled.Replicate samples for each habitat type were collected using three Mono BRUV units. The BRUVs were constructed based on the design of Cappo et al. (2004) and consisted of a stainless steel frame constructed as a mount for the camera and underwater housing. A bait arm (20 mm plastic conduit) extending 1 m from the face of the camera housing supported a plastic container, containing standardised bait , which was replenished prior to every deployment. Initial trials indicated that the standardised mixture provided a constant dispersal over the 30 minute deployment period under a variety of conditions. Cameras were set on \u2018short play\u2019 mode and the focus set to \u2018manual infinity\u2019. All sampling was done between 08:00 h and 16\u223600 h. Length estimates derived from Mono BRUV have been shown to be highly variable and potentially inaccurate. Studies have found that the measurements from Mono BRUV units could be out by as much as 30% and are only useful for looking at broader comparisons such as juvenile verses adult Video analysis was done by the same person A similarity matrix was constructed using fourth-root transformed data and the Bray-Curtis similarity measure for the three combined locations. Non-metric multidimensional scale (nMDS) ordination plot of relative abundance estimates (maxN) was constructed to visually explore patterns in fish assemblages among habitat types between within each estuary Overall patterns of variation in the assemblages identified for each estuary were analysed using metric multidimensional scaling (mMDS). To examine the nature of any significant effects between habitats, canonical analysis of principal coordinates (CAP) Differences between the dependent variables relative abundance 258 (max N); species richness (S) and diversity (Hs) associated with each of the habitat types in each of the estuaries were analysed using a one way analysis of variance. Where significant differences were found, a post-hoc test (Tukey) was performed to further investigate significant differences between categorical predictors.A total of 53 species were identified across all three habitats in the three estuaries. The artificial reefs consistently exhibited the greatest number of species when compared to natural rocky reef and sand-flat. Botany Bay had the greatest number of species (43 spp.), regardless of habitat type, with Lake Macquarie and St Georges Basin recording similar species abundance (22 and 16 spp. respectively). Lake Macquarie was the only estuary where all species identified across the habitats were found to reside on the artificial reef. Botany Bay exhibited the greatest number of \u2018artificial reef only\u2019 residents, with 13 species identified as exclusively artificial reefs only. Lake Macquarie and St Georges Basin exhibited similar results with 7 and 6 species respectively identified exclusively on the artificial reefs , signifiAcanthopagrus australis, Pagrus auratus, Microcanthus strigatus, Pelates sexlineatus and Trachurus novaezelandiae. A. australis was the only species observed as either a permanent or frequent artificial reef resident in all three estuaries. Other notable sparid species including P. auratus and Rhabdosargus sarba were also found to be permanent or frequent artificial reef residents in two of the three estuaries sampled across all estuaries and habitats. More than 80% of species identified were found to be either scarce or rare. On the artificial reefs, the majority of species identified as permanent or frequent residents were found to be sparids or carangids including P. sexlineatus was identified with greater frequency on natural rocky-reef than on either artificial reefs or sand-flat habitats. No species were found to be permanent or frequent reef residents unique to one particular habitat type between all combinations for habitat in all three estuaries. The graphical depiction of CAP correlates illustra\u00ae) deployed on sand sites that were isolated from natural rocky-reef. This study exclusively used mono BRUV units for data collection. BRUVs as a stand alone method have been shown to be suitable for sampling mobile demersal and semi-pelagic fish associated with artificial reefs with the exception of heavily reef associated cryptic species When evaluating artificial reefs, locating comparable natural rocky-reef is practically very difficult Differences in fish communities among estuaries are not surprising. Abiotic factors including reef age, reef size, location (degree of isolation) T. novaezelandiae was found in higher abundance and frequency on the sand-flat than on the rocky-reef, but was found to be a key artificial reef associated species. Conversely, P. auratus was identified on rocky-reef but not on sand-flat, but was also found to be an important contributor to the artificial reef assemblage. These variations in species proportions between habitats may be in part attributed to the location or isolation of the artificial reefs or indeed the quality of the habitat itself. The patch design and relative isolation of the artificial reefs were vastly different to the fragmented rocky-reef controls; this is likely to have influenced the resultant artificial reef assemblage. Previous studies have found that differences in fish assemblages between artificial and natural reef habitats is in part explained by the movement of post settlement fish on and off an artificial reef A. australis that dominated the artificial reef community were identified regularly on sand-flat. A. australis are common in south-east Australian estuaries A. australis on the artificial reefs is a result of the species ability to travel between habitats, often over sand-flat, that may be perceived as a barrier for other less mobile or heavily reef associated species. However it should be noted that this species is also readily found on sand-flat demonstrating its ability to inhabit a range of habitats types. It is known that some reef associated species are capable of moving over bare sand Within all three estuaries, higher species richness, diversity and abundances were recorded on the artificial reefs when compared to the adjacent natural habitats, a result that is consistent with a number of related studies A. australis were prevalent on the artificial reefs in high numbers, classified as a permanent artificial reef resident (sighting frequency >75%) in Lake Macquarie and St Georges Basin. This is likely to be a combination of reef location combined with the feeding suitability of the artificial reef itself as the A. australis has a preference for feeding in habitats that have a large reef/sand interface A. australis was more abundant on artificial structures than on natural rocky reef P. auratus and R. sarba as additional key contributors to the artificial reef assemblage, whose highly mobile nature and feeding habits similar to that of A. australis may have also made the artificial reefs favourable habitat T. novaezelandiae and Pseudocaranx georgianus were correlated with the artificial reefs as a direct result of their transient nature. These species are capable of travelling large distances over reef devoid habitat While the location of the artificial reef relative to naturally occurring habitats is a major source of variation, it is unlikely that the location alone of the artificial reefs will dictate the resultant assemblage structure. Species specific behavioural traits such as feeding preferences are also likely to structure the assemblage. Hence, the system is not only being limited by its location, but also by the habitats favourability in terms of feeding preferences. The higher abundances and species numbers observed on the artificial reefs as part of this study may have also been as a result of reduced predation pressure related to the reef's location. Reef location has also been linked to top-down \u2018predator\u2019 control of community structure The relationship between the range of crevice sizes in a habitat and the sizes of organisms sheltering there has been extensively documented A. australis to be able to locate and reside on the artificial reefs in relatively high numbers, while feeding preferences such as increased edge to area ratios may have further attributed to the observed variation in assemblage composition. Our study demonstrated the value in incorporating sand-flat habitat in experimental designs as this helped establish species vagility. The use of stereo-video BRUV units to make accurate determination of fish length (and inferences of biomass) would be beneficial in future. Repeats of this study (or other similar studies using BRUV units) should aim to incorporate stereo-units as the inclusion of biomass estimates; particularly in light of density-dependent habitat selection effects of some species and the resultant effect upon individual fish size and condition Estuarine artificial reefs show the potential to play a beneficial role in the enhancement of habitats for a range of recreationally important sparid and carangid species. However, these reefs should not be viewed as direct surrogates for natural reef, rather as a hybrid assemblages made up of species that are found on a variety of adjacent natural habitats. Although the assemblage did share many species with adjacent natural habitats, some were identified on the artificial reef alone, resulting in an assemblage that remained distinct by its higher abundances, species richness and diversity. The positive correlation of sparids and carangids to the artificial reef appears to have been as a direct result of their mobility and feeding preferences. Mobility allowed species such as Table S1Elative abundance (mean maxN \u00b1 SEM), total count and frequency (%) for all species in A. Lake Macquarie (LM), B. Botany Bay (BB) and C. St Georges Basin (SGB) by habitat type identified by BRUV002E.(XLS)Click here for additional data file."}
+{"text": "Psoriasis is an immune-mediated disease characterised by chronically elevated pro-inflammatory cytokine levels, leading to aberrant keratinocyte proliferation and differentiation. Although certain clinical phenotypes, such as plaque psoriasis, are well defined, it is currently unclear whether there are molecular subtypes that might impact on prognosis or treatment outcomes.We present a pipeline for patient stratification through a comprehensive analysis of gene expression in paired lesional and non-lesional psoriatic tissue samples, compared with controls, to establish differences in RNA expression patterns across all tissue types. Ensembles of decision tree predictors were employed to cluster psoriatic samples on the basis of gene expression patterns and reveal gene expression signatures that best discriminate molecular disease subtypes. This multi-stage procedure was applied to several published psoriasis studies and a comparison of gene expression patterns across datasets was performed.Overall, classification of psoriasis gene expression patterns revealed distinct molecular sub-groups within the clinical phenotype of plaque psoriasis. Enrichment for TGFb and ErbB signaling pathways, noted in one of the two psoriasis subgroups, suggested that this group may be more amenable to therapies targeting these pathways. Our study highlights the potential biological relevance of using ensemble decision tree predictors to determine molecular disease subtypes, in what may initially appear to be a homogenous clinical group. The R code used in this paper is available upon request. Psoriasis is one of the most prevalent chronic inflammatory disorders caused by an interplay of genetic factors and the environment on the background of dysregulated immune system . The disAlthough the cause of psoriasis remains unknown, it is thought to be a complex and multifactorial disorder brought about by the combination of multiple susceptibility genes -6, a dysIn recent years, progress has been made in understanding the pathogenesis and treatment of psoriasis. Pathogenesis is mainly linked to activation of several types of leukocytes that control cellular immunity and to a T-cell-dependent inflammatory process in skin that accelerates the growth of epidermal and vascular cells in psoriasis lesions. Current therapeutic approaches against the disease take advantage of proteins or antibodies aiming either at specific inflammatory co-activators or more generally at immune cells . While tThe first large-scale and detailed gene expression studies of psoriasis identified various differentially expressed genes by comparing non-lesional and lesional skin against normal tissue -16. ReceIn this study, a computational methodology based on decision tree predictors is developed to discover molecular sub-groups from gene expression data and illustrate gene signatures associated with each group. The random forest (RF) algorithm is used More specific to the current analysis, we first analysed gene expression profiles in normal and disease skin tissues, so as to define common differentially expressed genes. This core gene set was then used to group psoriatic tissue samples through RF clustering of real and synthetic data, as previously developed . This stMolecular profiling of psoriatic phenotypes followed by classification of tissue samples into appropriate disease classes has the potential to derive clusters of similar transcription responses from the entire repertoire of profiles generated. Especially in the case of a homogeneous clinical patient group, such as plaque-type psoriasis, the classification of transcriptional patterns into appropriate sub-groups may reveal distinct molecular mechanisms that may operate within this group and may explain variability in response and options of disease treatment. Overall, given the predictive nature of the decision model employed, such patient categorisations can lead to significant insights into disease mechanisms and novel, targeted therapeutic approaches.A pipeline Figure\u2009 for paticore set of genes expressed differentially across the three disease phenotypes and was used to derive disease-specific expression patterns in the RF-based procedure described in the following sections.Skin samples from psoriatic patients were either of inflamed, lesional type or non-inflamed, non-lesional tissue . These were analysed together with skin samples from normal individuals (denoted as NN). Relevant gene expression measurements for the disease classes were obtained through the Genetic Association Information Network . Differential expression analysis was performed and involved three pairwise comparisons between tissue datasets , resulting in three sets of differentially expressed probe sets per pair . A set of 228 probes was shared across all datasets Figures\u2009 and 2a aUnsupervised hierarchical clustering was carried out on the set of 206 core genes to explore and visualise the patterns of gene expression from normal (NN) to non-lesional (PN) and then to lesional (PP) skin samples. Figure\u2009Principal component analysis (PCA) was used to assess the clustering of samples when progressing from un-inflamed to inflamed skin. There was a clear distinction between lesional (PP) and non-lesional (NN and PN) phenotypes Figure\u2009c, manifeFN1, PDGFC, MYH10 are involved in the regulation of the actin cytoskeleton, which participates in fundamental processes such as the regulation of cell shape, motility and adhesion (A) and Yao et al. 2008 [36] (B) to illustrate grouping of samples according to random forest clustering. Two distinct psoriatic groups are identified in involved tissue (PP01 green and PP02 purple), while NN and PN samples largely co-localise. Overall, clustering is comparable to GAIN data that is shown in figure 4.Click here for fileGraphical representation to illustrate the relationship between 19 highly discriminative genes and disease sub-groups according to Gini Index calculated from decision trees forest in the Gudjonnson dataset. The green band represents the first psoriatic group (PP01), light blue corresponds to the second psoriatic sub-group (PP02), yellow corresponds to healthy individuals (NN) and light green presents the non-lesional cases (PN) and are arranged clockwise followed by purple to orange rectangular bands that represent relevant genes. Genes and skin groups are ordered according to shared pairing links, as described previously.Click here for fileGraphical representation to illustrate the relationship between 27 highly discriminative genes and disease sub-groups according to Gini Index calculated from RF for the Yao dataset. Light blue to green rectangular bands represent the four skin-types and are followed by purple to orange rectangular bands representing relevant genes (arranged clockwise). Genes and skin groups are ordered according shared pairing links. An overview of patterns of informative genes for prediction of each disease class can be visualised. Click here for filePathway enrichment in the Gudjonsson dataset.Click here for filePathway enrichment in the Yao dataset.Click here for fileExample of a decision tree for classification of tissue samples in appropriate disease classes. Heatmap illustrates expression values for 25 genes across 108 tissue samples and represents part of the heatmap shown in figure 2. A decision tree is a tree-like structure to relate gene expression measurements to sample phenotype class, with a view to deriving a predictive model. Nodes (rectangles) in the tree represent a test on gene expressions to derive a decision on a sample\u2019s class, edges (arrows) indicate the expression level of the variable that can best distinguish the samples and leaves represent class predictions. The path from root to each terminal node equates to a list of conditions in the form of gene expression rules that can relate tissue samples to disease phenotype class.Click here for fileCorrelation between the two variable importance measures of gene selection, Gini Index and mean decrease in accuracy.Click here for file"}
+{"text": "Maternal diet during pregnancy and lactation, as well as early infant feeding, is suggested to play a role in the development of allergic diseases.A population-based birth cohort with a genetic susceptibility to type 1 diabetes was recruited in two study areas in Finland in 1997-2004 (n = 6753). Maternal diet during pregnancy and lactation was assessed by a validated, 181-item semi quantitative food frequency questionnaire. Age at introduction of foods in the infant diet and CMA were queried from parents up to the age of 3 yrs of the child, and register-based information on diagnosed CMA was obtained from the Social Insurance Institution. Sociodemographic and perinatal factors were derived from the Finnish Medical Birth Registry and inquired from parents. Parental asthma and allergic diseases were queried in a questionnaire. The associations between diet and CMA were analyzed by logistic regression comparing highest and lowest quarters to the middle half of consumption and adjusted for potential confounders.High consumption of cow's milk during pregnancy was more strongly associated with a decreased risk of CMA in the offspring than maternal consumption during lactation, when considered simultaneously. Even taking into account the age of introduction of cow\u2019s milk in the infant diet, high maternal milk consumption during pregnancy remained inversely associated with CMA in the offspring . When stratified according to maternal allergic rhinitis and asthma, only children of non-allergic mothers seemed to benefit from high maternal cow's milk consumption during pregnancy . In children of allergic mothers, cow's milk consumption was neither risk nor a protective factor.in utero.High maternal consumption of cow\u2019s milk products during pregnancy may protect children from developing CMA, more so than maternal consumption during lactation. This association is evident only in children of non-allergic mothers. These results support data from animal studies on possible enhancement of tolerance already"}
+{"text": "These mutants carry a premature stop codon in the deltaD gene. Recently, our group showed that Notch signaling was directly involved in the control of cilia length in the KV cells given that the aei-/- mutant present shorter cilia in KV cells. The goal of this project is the characterization of the CBF and beat patterns of aei-/- KV cilia vs. wt cilia. We did spectral analysis of individual cilia associated with high-speed digital videomicroscopy. By decomposing and comparing the obtained frequencies with Fourier Transform we have identified significant differences in KV cilia motility pattern between the wt and the aei-/- mutants. So far, we show that not only are the cilia shorter in the KV of aei-/- mutants but also their motility pattern is different resulting in an overall destructive fluid flow.Motile cilia need to be coordinated and ciliary beat frequency (CBF) is characteristic of different types of cilia depending on their physiological function. In zebrafish, monociliated cells arise in the tailbud at the end of gastrulation in a transient spherical organ called Kupffer's vesicle (KV). Using zebrafish as a model, our group has been studying cilia length regulation and motility in wild-type (wt) and http://www.cedoc.org"}
+{"text": "The hole- and electron-doped compounds differ by their physical properties and their phase diagrams \u2009\u2212\u2009RON(V\u2009=\u20090))/RON(V\u2009=\u20090). Intensive fundamental and application studies of this phenomenon are underway since BRS-based devices are regarded as a new generation of alternative nonvolatile memory (Meijer The effect of bipolar resistive switching (BRS) observed in oxide-based heterostructures, including based on strongly correlated electron systems (SCES), such as HTSC is directed to the surface in contrast to switching observed in hole-doped compounds.Recent studies of the BRS effect in various compounds revealed the essential role of the oxygen diffusion processes. Electric field of different polarity induces two resistive states of the degraded HTSC surface which is indicative of its separation into conducting and dielectric phases. The switching process gives rise to metastable states with different oxygen content in the interface area of the compound. It is this area that determines the resistive properties of the structure and NCCO(001) grown by pulse laser deposition were used to produce HTSC-based heterostructures. Figure \u03b4\u2009= 1,0 phase. Both phases were epitaxial and (001)-oriented. The obtained results are consistent with other evidences of two phases coexistence after oxygen reducing even in perfect single crystals (Mang et al. Results of NCCO films structure study were reported elsewhere (Tulina et al. The value of the BRS effect was insignificant in the heterocontacts formed immediately after the ion milling of NCCO surface, the switching pattern corresponded to the electron-doped systems (see Figure The bipolar resistive switching has been experimentally observed in NCCO- and YBCO-based film heterojunctions.It has been shown that the surface layer of the studied HTSC films is oxygen degraded and can serve as an interface in HTSC perovskite-based heterostructures to create memory elements based on resistive switching.The switching polarity and the BRS effect value in the electron- and hole-doped compounds reflect the pattern of their oxygen doping."}
+{"text": "Effective delivery of aerosolized bronchodilators for patients with asthma is crucial for adequate therapy in critical care and emergent settings. Often administered with pressure-metered dose inhalers (pMDIs), bronchodilator delivery depends on the correct patient technique during administration and the A point-of-care device for airflow measurement during bronchodilator delivery was designed and tested for use in resourcelimited settings. The handheld device was constructed from a clinical aerosol delivery tube with a bidirectional sensor for pressure differential detection about the aerosol element Figure . The cusCalibration of the assembled device over range of 0.5 to 3 l/ second enabled conversion of pressure difference to air flow with a mean measured tube resistance of 0.258 (kPa*second)/l. Robust signal responses to an adult subject's continuous respiratory maneuvers on the tube itself were demonstrated. Subject performance of the pMDI technique with subsequent tidal volume breathing was recorded and analyzed Figure .Design and calibration of a novel low-cost monitoring device for bronchodilator delivery monitoring enabled detection and recording of characteristic flow volume respiratory patterns for point-of-care diagnostics in resource-limited settings. Future work will require clinical testing and automated detection of the correct pMDI patient technique."}
+{"text": "We evaluate the Bayesian Network (BN) and Support Vector Machine (SVM) machine learning techniques on four distinct TFBS data sets and analyze their performance. We describe the features that are most useful for classification and contrast and compare these feature sets between the factors.Computational prediction of Transcription Factor Binding Sites (TFBS) from sequence data alone is difficult and error-prone. Machine learning techniques utilizing additional environmental information about a predicted binding site (such as distances from the site to particular chromatin features) to determine its occupancy/functionality class show promise as methods to achieve more accurate prediction of true TFBS Our results demonstrate good performance of classifiers both on TFBS for transcription factors used for initial training and for TFBS for other factors in cross-classification experiments. We find that distances to chromatin modifications as well as distances between such modifications to be effective predictors of TFBS occupancy, though the impact of individual predictors is largely TF specific. In our experiments, Bayesian network classifiers outperform SVM classifiers.Our results demonstrate good performance of machine learning techniques on the problem of occupancy classification, and demonstrate that effective classification can be achieved using distances to chromatin features. We additionally demonstrate that cross-classification of TFBS is possible, suggesting the possibility of constructing a generalizable occupancy classifier capable of handling TFBS for many different transcription factors. Computational discovery of Transcription Factor Binding Sites (TFBS) is a difficult problem. Both methods utilizing Position-Weight Matrices PWMs, and methWe identified regions of the human genome on chromosomes 1\u201322 found to bind a TF according to chromatin immunopreciptation for the factors c-Myc A BN using the K2 network-building algorithm A linear-kernel SVM using default parametersA linear-kernel SVM with attributes preprocessed into bins using the same MDL-based discretization technique as in the BN classifiers.We evaluated the classifiers' ability to discriminate high and low occupancy sites using 10-fold cross-validation of each sample and the area under the curve (AUC) metric; AUC is calculated as the area under a plot of true positive rates and false positive rates for the classifier, with an AUC of 1 indicating perfect classification performance and and area of .5 indicating equivalence to randomly assigning classes to test examples . We compared the algorithm and feature sets used for the best-performing classifier for each TF. For each TF, we also constructed classifiers on a per chromosome basis as described above, extracting training data from the other chromosomes. We also evaluated the performance of each best classifier on the other TFs in the study, using each sample as a training set and classifying each other sample from the other three TFs. Additionally, we evaluated the difference in performance between the classifiers when the feature-feature distances were excluded from the feature set, using cross-validation and the AUC as described previously. Finally, we performed an analysis of the agreement between TFs on relevant features based on number of times of a feature's inclusion in the cross-validation classifier using Cohen's kappa measure For the four TFs we analyzed and features we utilized we found that the Bayesian Network (BN)-based classifiers consistently outperformed Support Vector Machine (SVM)-based classifiers for all TFs, and achieved average AUC scores ranging from .71 (TCF4) to .94 (GABP). Area Under the Curve (AUC) scores achieved in per-chromosome classification were comparable to those achieved in cross-validation. The resultant classifiers have na\u00efve Bayesian network structures. Both TFBS-feature and feature-feature distances are predictive, but the feature-feature distances appeared to be the dominant predictors for all TFs. No features of either type appear to be universally predictive across all TFs. Classification of other TFs by a classifier trained on a different TF was universally inferior to performance of a classifier trained on the TF of interest, excepting the case of SRF. All TFs were capable of accurate cross-classification of the held-out SRF data set.In all cases, the BN classifier outperformed either of the SVM-based classifiers see . This reA surprising result of the classification experiments was the dominance of feature-feature distances over TFBS-feature distances in the best-performing classifiers. We therefore decided to rerun classification as above using TFBS-feature distances only. For this and all subsequent analyses, we chose to only construct BN classifiers as they had outperformed SVMs previously. In all cases, average AUC of classification improved with the inclusion of feature-feature distances relative to TFBS-feature distances only see . As withWe additionally constructed BN classifiers using feature-feature distances for each individual chromosome and TF, generating training data from the other chromosomes. Performance was quite comparable on average to the performance achieved in the randomly sampled data sets . HoweverTo identify whether or not common predictors were shared across the TFs, we performed a frequency count of all predictors which appeared in at least one classifier instance for all four TFs, over all cross-validations.; see We additionally explored the classification performance achieved using one TF's classifier on the data for the other three TFs. Cross-classification performance may both be an indicator of the suitability of one TF for predicting occupancy of another (perhaps for exploratory modelling purposes), as well as a general indicator of the commonality of features influencing occupancy of a TFBS. For this experiment, each sample from the previous experiments was used to train a BN classifier using the entire sample as training data. This classifier was then tested using each sample from each other TF, resulting in 100 AUC values for each TF-TF pair . Both TFSRF represents a unique data set relative to the other TFs in that its dataset appears to contain multiple strong motifs that differ from the \u201ccanonical\u201d SRF binding sequence; the TRANSFAC SRF PWM accounts for only about 33% of the sites reported by Valouev et al. While we were able to achieve good performance with occupancy classification overall, considerable variation in performance and in predictors was observed between the TFs. Biological differences are likely at play to some extent; for example, GABP is thought to bind at the majority of human bidirectional promoters In comparison with other work in the field, the analysis presented addresses several unanswered questions about occupancy classification, notably the question of whether or not accurate cross-classification of one TF by another is possible. The most directly comparable work is that of Chen et al. A more recent work is that of Won, Ren, and Wang We believe we have demonstrated the viability of occupancy classification as a method of accurately locating likely high-occupancy TFBS for multiple TFs, and these results suggest a multitude of future research directions for refining and expanding upon occupancy classification methods. An analysis of the impact of using occupancy classification as a supplement to or in lieu of biological data in a real-world analysis of a biological problem is still wanting, but we have begun to design such an analysis based on utilizing protein-protein interaction (PPI) network construction and the occupancy classification methodology that we have described here. Additionally, given the results of both the cross-validation and cross-classification experiments, it seems possible that a combination of occupancy classifiers trained on data from several TFs Click here for additional data file.Table S2A: Top 10 most frequently occurring predictors in the occupancy classifiers (per-TF and cumulative). B: Average class-conditional probability of high-occupancy status for smallest distance bin for top 10 most frequently occurring features in cross-classification (two-bin cases only). C: Average class-conditional probability of high-occupancy status for smallest distance bin for top 10 most frequently occurring features per-chromosome.(DOC)Click here for additional data file."}
+{"text": "Marsupials are born with immature lungs when compared to eutherian mammals and rely, to various extents, on cutaneous gas exchange in order to meet metabolic requirements. Indeed, the fat-tailed dunnart is born with lungs in the canalicular stage of development and relies almost entirely on the skin for gas exchange at birth; consequently undergoing the majority of lung development in air. Plane radiographs and computed tomography data sets were acquired using phase contrast imaging with a synchrotron radiation source for two marsupial species, the fat-tailed dunnart and the larger tammar wallaby, during the first weeks of postnatal life. Phase contrast imaging revealed that only two lung sacs contain air after the first hour of life in the fat-tailed dunnart. While the lung of the tammar wallaby was comparatively more developed, both species demonstrated massive increases in air sac number and architectural complexity during the postnatal period. In addition, both the tammar wallaby and fat-tailed dunnart had lower lung volumes and parenchymal surface areas than were expected from morphometrically determined allometric equations relating these variables to body mass during the neonatal period. However, lung volume is predicted to scale with mass as expected after the neonatal marsupial reaches a body mass of \u223c1 g and no longer relies on the skin for gas exchange. Decreased lung volume in the marsupial neonate further supports the maxim that cutaneous gas exchange occurs in the marsupial neonate because the respiratory apparatus is not yet capable of meeting the gas exchange requirements of the newborn. The fat-tailed dunnart The lung of the newborn tammar wallaby contains abundant surfactant Didelphis virginiana) have larger than predicted mass-specific lung volumes Traditional morphometric techniques have established that throughout development lung volume scales isometrically, and identically, in marsupials and eutherians Phase contrast imaging enhances edges of material boundaries, where differences in refractive index occur, for example the boundaries between different tissue types This study aimed to explore lung development in the tammar wallaby and fat-tailed dunnart during the first weeks of life using phase contrast imaging with a synchrotron radiation source. In addition, we aimed to calculate functional lung volumes and surface areas during development using three-dimensional (3-D) reconstructions of computed tomography (CT) data.Tammar wallabies and fat-tailed dunnarts from a laboratory colony were continuously monitored for signs of giving birth, and/or underwent regular pouch checks when approaching full-term , animals had their mouth and nares blocked with a quick setting polyether compound to aid in prevention of air-loss and were immediately frozen on dry ice prior to being stored at \u221220\u00b0C in an evacuated zip lock bag with moist gauze to prevent desiccation. Specimens were maintained at \u221220\u00b0C until they were put on dry ice for air-transport to the Biomedical Imaging Centre, SPring-8 synchrotron, Hyogo, Japan. For imaging, pouch young were placed into a snug fitting plastic tube and held in place with a plastic pin that prevented movement during imaging. A cryostat was placed in the experimental hutch within the centre and a cold stream of air was directed over the specimen to ensure the sample was kept just above the freezing point, ensuring that ice crystals did not interfere with imaging.2. Since the beam size is limited on the 20XU beamline, several images were taken in a raster scan and then tiled together to create the final image in animals that were larger than these dimensions. Images were conventionally corrected for dark current offset and full field non-uniformities before tiling (if required) Phase contrast enhanced single images and computed tomography data sets were acquired. To provide maximum edge enhancement to elucidate the lung structure, single images were acquired on the high coherence 20XU beamline, using a propagation distance of approximately 3.7 m and an X-ray energy of 17.7 keV. Images were recorded using a Hamamatsu phosphor charged-coupled device with pixel size of approximately 3\u00d73 \u00b5mLung surface areas and volumes were calculated using ImageJ . Firstly, each set of reconstructed images was thresholded to create a binary image that could be easily segmented to highlight lung regions only. The images were then inverted so that the lungs appear white, and non-air filled structures are black, which is necessary for the morphological filters to run. These filters reduce any noise in the images. Volumes and surface areas were then calculated for each CT slice by using the \u201canalyse particle\u201d function which finds regions in the binary images between certain sizes (>30 and <3500 pixels) and counts their number, area and perimeter. Surface areas were calculated by summing the perimeter for each slice and the volume determined by summing the area and knowing the thickness of each slice was 1 pixel.Where appropriate, least-squares regression was fitted to log-log transformed data for allometric analysis. The equality of the slope of the regression lines for marsupials collected in this study was assessed using a parallel line analysis. All data analysis was performed in SigmaPlot 12 . Significance was considered at p<0.05.Thirty-six hours after birth, the lung of the tammar wallaby is a simple saccular structure , which iThe lungs of the newborn fat-tailed dunnart are more immature than those of the tammar wallaby. The plane radiographs of the developing fat-tailed dunnart indicateOn the first day of postnatal life, the neonatal tammar wallaby and fat-tailed dunnart displayed lower lung volumes and parenchymal surface areas See than werIt is generally accepted that viability of the newborn mammal depends on an adequately developed respiratory system. Indeed, the neonate must rapidly adapt to air breathing through clearance of fetal lung liquid, the onset of a rhythmic breathing pattern and establishment of a functional residual capacity In the 1 hour old dunnart, the two \u2018air bubbles\u2019 observed indicate that either the lung is grossly under-developed and is comprised of only two simple sacs or, alternatively, the architecture of the lung is more developed, but the airspace not completely cleared of fetal lung liquid, rendering the phase contrast non-existent in these fluid filled areas of the lung. In fact, the latter explanation is plausible given that light and electron microscopy demonstrated a thick septal wall within the primitive tubular structures and an over-abundance of surfactant in the airspaces The lung volumes determined in the present study represent the air-filled regions of the lungs (exclusive of the upper airways), not the morphological volumes determined in previous studies with traditional microscopic techniques. The calculation of air-filled volumes may over-estimate the functional or physiological lung volumes as they will undoubtedly include regions where gas exchange is limited; for example, larger airways and regions of the lung where thick interstitium and/or poor capillarisation prevent efficient gas exchange; see The low lung volume at birth in marsupials may relate to the stage of lung development; the earlier the stage the lower the volume and the greater the extent of cutaneous gas exchange. Microscopic morphology has determined that lung volume increases \u223c23 fold through development in humans and rats, There are numerous consequences to low lung volumes in newborns, including the greater tendency for alveoli (or air sacs) to collapse. Newborns often minimise this potential problem by maintaining a dynamic elevation of FRC above resting lung volume. In many newborns, this is achieved by a slowing of expiratory emptying (by braking action of the inspiratory muscles), coupled with narrowing of the glottis during expiration, to prolong the expiratory time constant 2O It is possible that the lung volumes reported in this study are lower than the functional lung volumes found in living neonates due to the lungs deflating below FRC at death. In addition, the possibility of diffusion of air from the lung into the vascular compartment and neighbouring tissues, and consequent underestimation of lung volume, during the preservation of animals must be considered as a potential limitation in this study. In contrast, morphometric estimates of lung volumes and surface areas are sometimes performed after fixation of the lungs to a given tracheal pressure; previous studies in the neonatal tammar wallaby have used 20 cm HThe surface area of the lung available for gas exchange in the wallaby and dunnart is also below values predicted from allometry , though The extensive lung development observed in the weeks after birth is not surprising given an increasing reliance on the lung for gas exchange. At the same time, there is a decrease in cutaneous surface area with respect to body size and an increase in the demand for oxygen, particularly as the capability for thermogenesis develops In summary, phase contrast imaging using a synchrotron radiation source confirmed that marsupials such as the fat-tailed dunnart and the tammar wallaby are born with structurally immature lungs when compared to eutherian mammals and underwent marked increases in architectural complexity during the postnatal period. In addition, these marsupials had lower lung volumes and parenchymal surface areas than were expected from morphometrically determined allometric equations relating these variables to body mass during the early neonatal period. These findings further support the maxim that cutaneous gas exchange occurs in the marsupial neonate because the respiratory apparatus is not yet capable of meeting the gas exchange requirements of the newborn."}
+{"text": "Human endogenous retroelements (which rely on an RNA intermediate before integration into the genome) can be classified into the non-long terminal repeat (LTR) class and the LTR class, represented by human endogenous retroviruses (HERV). Many HERV entered the primate germ line as infectious retroviruses at several time points during human evolution. Out of the six HERVsuperfamilies, HERV-K (HML-2) is considered to be the youngest and most transcriptionally active. Various studies have identified adaptive immune responses to HERV under certain disease conditions, but whether these represent beneficial or deleterious immune responses is unclear. We have focused on the study of adaptive immunity to HERV in the context of HIV infection, and will present data on the cell mediated and humoral responses to certain HERV families. We find that HERV specific T cell responses can be found at high frequency in certain HIV infected subjects, and specific antibody responses are also identified. The functional activities of these adaptive immune mechanisms may play a role in HIV pathogenesis."}
+{"text": "The human vasculature includes a vast network of microcapillaries networking the body and is a major target for non-carcinogenic effects of space radiation in the body. The brain microvascular system is crucial to healthy functioning of the brain and its pathology is not only a primary event in a range of neurodegenerative diseases but also an important influencing factor in many others. The vasculature is maintained by angiogenesis regenerating vessels as they are needed, this is particularly relevant if the blood\u2013brain barrier is damaged by agents such as space radiation, thereby creating the need for angiogenic regeneration. The resulting lack of vasculature due to the inhibition of re-growth of vessels can, in turn, lead to a negative feedback loop and further pathologies.Using three-dimensional human vessel cultures with human umbilical vein and brain microvascular endothelial cells, we have developed assays that determine at what stage angiogenesis is inhibited by ionizing radiation. The relative biological effect of high linear energy transfer (LET) 1 GeV Fe ions compared with low LET 1 GeV protons is only one for developing vessels but greater than four for mature vessels. This action of low LET protons on developing vessels was surprisingly effective (50% inhibition with 40 cGy exposure) and together with the effect of high LET ions may represent a significant hazard in the space environment.The morphology of developing vessels 5 days after exposure showed significant differences that suggest distinct mechanisms of inhibition. Cells exposed to protons failed to make connections with other cells. Conversely, cells exposed to Fe ions extended cellular processes and made connections to other cells but did not develop a central lumen. The microtubule and actin cytoskeletons showed differences indicating that motility at the extending tips of endothelial cells is inhibited by protons but not Fe ions. Actin-rich protrusive structures that contain bundled and dynamic microtubules showed a 65% decrease when exposed to high-energy protons but not with the same dose of high-energy Fe ions. Since protein kinase C (PKC) has long been known to stimulate angiogenesis, we hypothesized that rescue of the capillary phenotype after proton exposure would be possible by stimulating PKC before irradiation. One-day-old vessel cultures were treated with 30 and 60 nM phorbol ester (PMA) 15 min before irradiation. Stimulation of PKC restored capillary formation in proton-treated cultures but not in Fe ion-treated cultures. More specifically, stimulation of PKC by PMA was able to restore the tip motility that was inhibited by low LET ions [Further studies with various charged particles showed that low LET ion particles (Proton and He ions) with an LET lower or equal to 1 keV/\u03bcm inhibit vasculogenesis in the same way as protons. Higher LET charged particles with an LET \u22658 keV/\u03bcm inhibit vasculogenesis in the same way as Fe ions.In conclusion, we have shown that low and high LET ions inhibit the formation of brain capillaries by different mechanisms. For low LET ions, inhibition involves regulation of PKC-dependent motile tips leading to a failure of cellular processes to migrate through the matrix and meet up with other processes. For high LET ions, the cells fail to complete angiogenesis by not migrating and forming tubular structures. This complexity of response opens up possibilities of greater control over angiogenesis and the resulting pathologies during coincident exposure or therapy. For exposure in space, knowledge of these mechanisms will enable more precise risk assessment and mitigation strategies. For radiotherapy, treatment could be manipulated to utilize the radiation effectively."}
+{"text": "Vesicle trafficking systems play essential roles in the communication between the organelles of eukaryotic cells and also between cells and their environment. Endocytosis and the late secretory route are mediated by clathrin-coated vesicles, while the COat Protein I and II (COPI and COPII) routes stand for the bidirectional traffic between the ER and the Golgi apparatus. Despite similar fundamental organizations, the molecular machinery, functions, and evolutionary characteristics of the three systems are very different. In this work, we compiled the basic functional protein groups of the three main routes for human and yeast and analyzed them from the structural disorder perspective. We found similar overall disorder content in yeast and human proteins, confirming the well-conserved nature of these systems. Most functional groups contain highly disordered proteins, supporting the general importance of structural disorder in these routes, although some of them seem to heavily rely on disorder, while others do not. Interestingly, the clathrin system is significantly more disordered (\u223c23%) than the other two, COPI (\u223c9%) and COPII (\u223c8%). We show that this structural phenomenon enhances the inherent plasticity and increased evolutionary adaptability of the clathrin system, which distinguishes it from the other two routes. Since multi-functionality (moonlighting) is indicative of both plasticity and adaptability, we studied its prevalence in vesicle trafficking proteins and correlated it with structural disorder. Clathrin adaptors have the highest capability for moonlighting while also comprising the most highly disordered members. The ability to acquire tissue specific functions was also used to approach adaptability: clathrin route genes have the most tissue specific exons encoding for protein segments enriched in structural disorder and interaction sites. Overall, our results confirm the general importance of structural disorder in vesicle trafficking and suggest major roles for this structural property in shaping the differences of evolutionary adaptability in the three routes. Vesicle trafficking systems are fundamental among cellular transport mechanisms; various cargo molecules are transported via different coated vesicles to their specific destinations in every eukaryotic cell. Clathrin-coated vesicles mediate endocytosis and the late secretory route, while the COat Protein I and II (COPI and COPII) vesicle trafficking routes are responsible for the bidirectional traffic between the ER and the Golgi apparatus. Despite similar basic principles, regulatory mechanisms and structural features of the three systems, their molecular machinery, functions, and evolutionary characteristics vastly differ. We investigated and compared these three routes and their basic functional protein groups from the structural disorder point of view, since disordered protein regions could provide a broad variety of functional and evolutionary advantages for them. We found that structurally disordered protein segments are most abundant in the clathrin system, which might explain the observed inherent plasticity, increased adaptability and exceptional robustness of this route. We support our hypothesis by two analyses on protein multi-functionality and tissue specificity, both being indicative of evolutionary adaptability. Clathrin pathway proteins stand out in both measures, with their disordered regions being largely responsible for their outstanding capabilities. The well-organized network of vesicle trafficking pathways is the basic communication mechanism between the different intracellular compartments and the environment, and as such it is crucial for the efficient transport of macromolecules within and between cells and their environment. Transport vesicles deliver various cargo molecules to the plasma membrane and to specific membranous compartments, while being also responsible for maintaining the appropriate protein and lipid composition of various organelles. There are several specialized routes present in all eukaryotic cells playing distinct roles, being responsible for different directions of traffic between various source and target membranes of several organelles and for carrying various types of cargo. These systems have their own well-conserved macromolecular machinery with a specific coat protein complex on the surface of their vesicles, which usually lends the name to the whole system.While endocytosis and the late secretory route are mostly mediated by clathrin-coated vesicles, the early secretory pathway from the ER (endoplasmatic reticulum) to the Golgi apparatus and the retrograde transport backwards are mediated by the COPII (COat Protein II) and COPI (COat Protein I) routes, respectively In all three cases there is a specific multisubunit protein coat complex on the outer surface of the vesicles which can self-assemble as a lattice collecting and concentrating the appropriate adaptor-cargo complexes into membrane patches. This process is not only responsible for cargo selection, but through the generation of membrane curvature, it also enhances the budding and fission of vesicles In all three pathways vesicles are uncoated after formation, i.e. their cage-forming scaffold proteins and the adaptor proteins are stripped off either stepwise (COPII and clathrin) or at once (COPI). The precise timing of this procedure is still under debate Other similarities between these routes include the basic mechanisms of vesicle transport and vesicle fusion with the target membrane. The key players of vesicle fusion are SNARE proteins in all the three systems. SNAREs behave like molecular engines; they generate the pulling force required for placing the two membranes close enough for fusion. Instead of using ATP in force generation, a huge conformational change occurs when the SNARE protein in the vesicle membrane interacts with the appropriate SNARE proteins in the target membrane . The four SNARE coiled-coil homology domains assemble into a stable four-helix bundle, which is then disassembled in an ATP-dependent manner Despite this array of mechanistic, structural, and regulatory similarities, there are fundamental functional and evolutionary differences between the clathrin-mediated system and the other two. While COPI and COPII are essential for the viability of eukaryotic cells (without any of them the transport between the ER and the Golgi is completely abolished) and they only occur in the ER-Golgi-ER routes, the clathrin system seems to be less indispensable and more broadly relied on. Knock-outs of certain main clathrin components, such as AP-2 (Adapter-related protein complex 2) are unviable in case of multicellular organisms There are several differences in the complexity of the three pathways too. In the COPI and COPII systems, the adaptor subunits are part of the multisubunit coat complex and there is only one set of them for each pathway Although the functional and evolutionary differences between the systems have been previously studied, the inherent structural characteristics that could account for them have not been fully explored. Some previous works allude that long regions of certain clathrin-associated adaptor proteins are disordered, unstructured or unfolded Intrinsically disordered proteins and regions lack a well-defined structure; they function via an ensemble of possible conformations Given all the possible implications and advantages intrinsic disorder can have on the different vesicle trafficking mechanisms, studying its role in them is of indisputable importance. To our knowledge, the abundance of disordered regions was only improperly assessed for proteins in the clathrin pathway by secondary structure prediction methods Clathrin route proteins were collected from comprehensive reviews The protein sequences of the complete human (Homo sapiens) and yeast proteomes were obtained from the UniProtKB release 2012_09) Whenever possible, the classification of proteins found in the literature was used. Seven large functional groups were defined: four of them were budding and fission-associated: i) coat proteins; ii) adaptors and sorting proteins; iii) enzymes and enzymatic activity related proteins; and iv) a general group for unclassified proteins. Only the proteins of these were classified according to the three main systems . The other three functional groups correspond to fusion-associated proteins: v) SNAREs; vi) multisubunit tethering complexes; and vii) other fusion regulators. In case of the human proteins, an extra functional group of fusion regulators playing a specific role in the regulation of neurotransmitter transport was added. The unclassified group includes all the proteins for a given system that could not be classified into the first three budding and fission-associated groups but still take part in these processes, many of them being transmembrane cargo-specific receptors. GEFs (Guanine nucleotide exchange factors) were not included in the analysis since they were only reported to act on their specific small GTPase. Although sometimes highly specific for the process, these proteins were not considered as part of the transport vesicles themselves.Prediction of intrinsic protein disorder was carried out using the IUPred method Prediction of disordered binding regions (DBRs) possibly involved in protein-protein interactions was carried out using the ANCHOR method k disordered residues; k\u200a=\u200a30, 50 and 100), and iii) ratio of residues in ANCHOR-predicted Disordered Binding Regions (DBRs). In case of the transmembrane proteins, residues belonging to the reported transmembrane segments were not taken into account for the calculation of any disorder metric.Standard measures generally used in the literature to describe the disorder content of proteins were calculated: i) relative disorder content or ratio of disordered residues , ii) ratio of residues in Long Disordered Regions (LDRs) were performed using Wilcoxon Rank Sum Test. Comparisons of disorder measures in specific groups to the corresponding reference proteome values, were performed using Fisher's Exact Test.Transmembrane regions were assigned according to UniProtKB Orthology identification between human and yeast proteins was performed by the Inparanoid v7 program Interaction partners with the highest confidence (confidence level\u200a=\u200a0.9) were obtained from the STRING database 9.0 All tissue specific exons (TSEs) for the budding- and fission-associated human proteins of our dataset were collected from Wang et al. A comprehensive search in the Protein Data Bank (PDB) www.r-project.org). The Pymol molecular graphics tool [http://www.pymol.org/] and the DOG2 protein domain representation tool All data processing in this study was performed using scripts written in the Perl programming language. All analyses were implemented in the statistical analysis programming language R , and 3) the ratio of residues in predicted disordered binding regions (DBRs).Three different disorder metrics were used to explore the abundance of structural disorder and functionally important disordered sites in vesicle trafficking proteins: 1) the ratio of predicted disordered residues (hereafter referred to as disorder content), 2) the ratio of residues in predicted long consecutive disordered regions (LDRs) of different lengths . The mean number of DBR residues is also higher for human than for yeast proteins . The overall disorder content of vesicle trafficking proteins is not statistically significantly different from that of the corresponding complete proteome in either species.The disorder content of the equivalent functional categories in human and yeast shows no statistical differences for any of the pairs as assessed by the Wilcoxon Rank Sum Test. All disorder metrics showed similar tendencies for the main functional groups of the two species , Table 1Fusion regulation proteins are among the least disordered ones since thThe \u201cSNARE\u201d group is composed of proteins containing at least one v- or t-SNARE coiled coil homology domain and various types of family-specific domains. Even so, they show a surprisingly high deviation in disorder content with a few of them being mostly disordered and others being well structured. The members of the syntaxin family of SNAREs have disordered N-terminal regulatory regions that can be used by their direct regulatory partners (e.g. SM proteins) to modify their function. Several PDB complexes demonstrate how the disordered syntaxin N-tail folds up when bound to a globular SM partner . Our resAlthough its median disorder content is only the second largest (21.49%), the group of \u201cadaptor and sorting proteins\u201d (ASPs) has the most highly disordered (>50%) members. This group is very diverse, containing completely structured subunits of larger adaptor complexes and also highly disordered adaptor proteins such as the epsins, DAB1 and DAB2 (Disabled homolog 1 and 2), HRS (Hepatocyte growth factor-regulated tyrosine kinase substrate) and NUMB (Protein numb homolog). The latter ones all have long LDRs enriched in binding motifs.Interestingly, the group of enzymatic activity related proteins (EARPs) is the most disordered (22.84%). This might be counterintuitive at the first glance, since enzymes are thought to be typically well-folded proteins. Indeed, this is the case for domains carrying enzymatic activity or for small single-domain enzymes, like the small GTPases. However, their direct regulators, the long GAPs (GTPase activating proteins), for instance, are considerably disordered. The increased structural disorder content of GAPs in general was already reported and accounted to their long flexible inter-domain linker regions Finally, the group of \u201cneurotransmitter transport specific regulators\u201d (NTSRs) contains distinct protein families: synaptotagmins, complexins, several neurotransmission-specific SM proteins, synaptophysin and tomosyn. Complexins are the most disordered family of our entire protein dataset (d.c. 76.25\u201398.51%), while the other members are highly ordered.The statistical comparison of human functional groups against their whole proteome reference value showed tThe disorder content of all budding- and fusion-associated proteins involved in the three main vesicle trafficking systems regardless of their functional classification was also compared , Table 1The disorder content of the proteins in the COPI and COPII routes is not significantly different in either species. Similarly, the average disorder content of the proteins in each of the three main pathways does not significantly differ between human and yeast (as assessed by the Wilcoxon Rank Sum Test).The higher disorder content found in the clathrin-mediated route is partly due to the highly disordered clathrin light chains and mainly stemming from the several highly disordered proteins in the ASP and EARP groups. Overall, many of its proteins contribute to the observed effect. In case of the COPI and COPII pathways, most of the disorder contribution comes from a few outliers; namely, the huge, largely disordered Sec16 homologs for the COPII route, and a few highly disordered ArfGAPs (ADP-ribosylation factor GTPase-activating proteins) for the COPI route.Only the clathrin-mediated route showed significant enrichment in proteins with LDRs of all three lengths when compared to the corresponding whole proteome reference values for both species .In order to show that structural disorder provides enhanced evolutionary adaptability and plasticity in the clathrin pathway, two appropriate measures were introduced. The first measure reflects the capability of proteins to participate in multiple pathways and to mediate interactions with diverse partners (moonlighting). Although the correlation between moonlighting ability and structural disorder of proteins has been previously described High confidence, non-vesicle trafficking related (off-pathway) interaction partners were collected for all budding- and fission-associated human proteins in the dataset . Out of For the most \u201cinteractive\u201d proteins these values were compared with different measures of predicted structural disorder and disordered binding sites . InteresAll these results suggest that apart from some subunits of large complexes of coats and adaptors, most of the proteins showing moonlighting capabilities are often highly disordered and have several LDRs and many predicted DBRs. Among the three main routes, the clathrin pathway is the only one rich in such proteins, thus the vast majority of non-vesicle trafficking related interactions are mediated by this pathway. Further attesting to the functional adaptability of the clathrin route is that we observed the partners of proteins in this route being the most diverse with respect to their main pathways/molecular functions. For example, for the COPII proteins the 50 off-pathway interactions involve only 40 unique non-vesicle trafficking interaction partners (more COPII proteins can interact with the same off-pathway partner) out of which 15 are subunits of the nuclear pore complex alone and there are also several lysosome-associated proteins and secreted ones.All reported examples of TSEs for all budding- and fission-associated proteins in our data set were collected from Wang et al. Our results show that clathrin route associated proteins seem to be the ones which have most frequently acquired tissue-specific exons during their evolution: 33 of the 44 identified exons (75%) are located in 22 unique clathrin route associated proteins (\u223c31% of its proteins showing at least 1 TSE), while only 7 such exons were found for 5 COPII related proteins, 3 for 2 COPI associated proteins, and 1 in TMED2, a transmembrane cargo receptor shared between the COPI and COPII routes . TSEs showing the strongest tissue specificity , almost twice the value for the complete human proteome (22.81%). According to ANCHOR predictions, there are 39 DBRs that are either completely encoded or overlapping with the protein regions corresponding to the 44 exons, and 4 additional binding regions were found to overlap with the 5 residue neighborhood of TSE boundaries, which are most probably also affected by the presence or absence of the given TSE.The 33 TSEs present in the clathrin pathway proteins encode for a total of 970 residues. The disorder content of these TSE-encoded protein regions is higher in the clathrin route proteins (47%) than in the proteins associated with the other two routes (39.3%). 29 DBRs were found within the corresponding clathrin route related protein regions and the 4 binding regions that reside within 5 residues from the TSE boundaries are also found in association with these regions. The low number of TSEs in the proteins of the COPI and COPII routes do not allow statistical comparisons between the three pathways, but point to the fact that clathrin route proteins are far more prone to acquire such regions. We identified at least one Pfam \u2018entity\u2019 for 238 vesicle trafficking proteins in human. There were only 10 proteins for which no domain or family could be assigned. We further analyzed the Pfam patterns of highly disordered proteins, namely those with at least 70% disorder content or a high ratio of LDR residues (\u2265mean plus 2 times standard deviation or \u226550%). In some cases, such proteins are assigned to Pfam families based on evolutionary conservation, and yet they do not contain any folded domains. Such is the case of all the complexins (1\u20134), which belong to the synaphin family and are highly disordered (disorder content 76\u201398%) according to our predictions. Another example is the family of clathrin light chains, where both proteins show very high predicted disorder content (60% and 74%) and have no folded domains assigned.clearly show that there are several folded domains that are typically located in highly disordered proteins. These structured \u201cislands\u201d are usually surrounded by extended disordered regions on either or both of their sides, and tend to be the sole domain of the protein. Examples of such kind of domains include the ENTH domain, the PID (phosphotyrosine interaction domain), the Sec16 domain, and the muHD , among others.Our data The highly disordered epsin type clathrin adaptors (1\u20133) have the unique ENTH domain at their N-terminus, which serves as a membrane interacting module, while the remaining part of the protein is completely disordered. Epsins 1 and 3 also contain UIM motifs (Ubiquitin Interaction Motifs) within their disordered regions along with the many identified adaptor protein- and clathrin-binding motifs Apart from the previously mentioned domains, we have found others, which are often surrounded by variable long disordered regions, but are also present in proteins that tend to have less disorder content. The BAR (Bin-Amphiphysin-Rvs) domain \u2013 involved in membrane curvature sensing \u2013 is present in the highly disordered amphiphysin (d.c. 60.58%), but also in endophilins , which have substantially variable disorder content (d.c. 7.12\u201335.60%). The protein kinase domain is present in AAK1 , but it is often part of other less disordered kinases as well.In summary, the vast majority of the domains that are always surrounded by highly disordered regions belong to clathrin pathway associated adaptor and sorting proteins . Their structural properties \u2013 having a single folded domain located at one of their termini, while the rest of their chain is highly disordered with embedded functional motifs \u2013 make them excellent candidates for the fly-casting mechanism. Additionally, previous studies have shown that these adaptors are able to form extended adaptor networks on the surface of the budding vesicle, some of them being responsible for recruiting clathrin as well To further investigate the role of disordered binding regions in building the adaptor network, we performed a systematic PDB search looking for clathrin coat specific protein complexes. We found several structures where the interaction of two clathrin adaptors is shown, and one of the partners uses its disordered binding regions to bind to the folded domain of the other one. In case of the multisubunit AP-2, one of the most studied key players of endocytosis, two long disordered regions connect the two \u03b1-adaptin ear domains to the major part of the huge complex. The recognition of cargo sorting signals is done by the major part, while the principal clathrin-binding region is located in the disordered \u03b22-adaptin hinge We also found structures where other non-adaptor clathrin pathway associated proteins interact with AP-2 or clathrin via their disordered segments. Amphihpysin, for instance, interacts with both (PDB IDs 2VJ0 and 1UTC) via two different disordered binding regions located in the long disordered segment following the BAR domain. Proteins from the EARP functional group also bind AP-2, in case of synaptojanin 1, two distinct constructs were shown to bind the \u03b1-adaptin domain (PDB ID: 1W80), while PIP5K1C (Phosphatidylinositol 4-phosphate 5-kinase type-1 gamma) interacts with the \u03b2 subunit (PDB ID: 3H1Z).We identified 56 human proteins that could be successfully matched to a yeast protein from our dataset using the Inparanoid 7.0 method. We focused on orthologous pairs involved in the budding and fission associated functional groups because they show higher abundance of disordered regions, they were the ones that could be reliably grouped according to the main routes and hence better distinguishing between those. We filtered these pairs for at least one of their members showing considerably high disorder content (>30%). From the resulting 8 protein pairs one showed very similar disorder content (less than 5% difference); 5 pairs showed more disorder in the human ortholog than in the yeast ortholog; and in two cases the yeast protein showed higher disorder content.We analyzed two protein pairs in detail . The firIn the second pair, both proteins are highly disordered: human Sec16A (Protein transport protein Sec16A) and yeast Sec16 (COPII coat assembly protein SEC16), and according to their predicted disorder patterns , despiteVesicle trafficking routes have fundamental roles in the eukaryotic cell, providing the possibility of targeted macromolecule transport between the various intracellular compartments and also the cell and its environment. The COPI, COPII and clathrin-mediated vesicle trafficking routes comprise the major part of the transport network, being responsible for the different types, locations and directions of traffic involved in endocytosis, the early and late secretory pathways and the retrograde Golgi-ER transport. Despite their similarities, there are fundamental functional and evolutionary differences that strongly distinguish these routes, yet the structural characteristics that could account for these differences have not been previously described.In this work, we provided a systematic assessment of the potential functional involvement of structurally disordered protein regions in the main vesicle trafficking systems. Based on the functional requirements of their proteins and the inherent advantages that structural disorder could offer them, we expected such systems to heavily rely on disordered protein regions. Such regions have been widely recognized to be abundant in proteins related to signalling and regulatory roles The different measures of structural disorder that were used to describe the abundance and location of such protein regions in vesicle trafficking proteins allowed us to distinguish between major functional roles, in which disordered regions could be involved. While the overall disorder content of proteins provided a broad picture about the dependence of the given functional group or trafficking route on structural disorder, the ratio of residues located in predicted DBRs helped to estimate the involvement of these regions in protein-protein interactions. In those cases where the ratio of residues in LDRs is considerably more than those in DBRs, we could speculate that besides promoting protein-protein interactions, disordered regions might also serve as flexible linkers between structured domains, or as long spacers, assisting in fly-casting mechanism by providing the possibility for the motif-rich parts to reach farther.Despite the heterogeneity of proteins in the three major vesicle trafficking routes, we found that the proteins of these systems followed similar overall tendencies of structural disorder in the two species. The overall statistic comparison of human and yeast proteins showed that proteins involved in vesicle trafficking are only slightly more disordered in human. The equivalent functional groups in the two species showed very similar disorder contents, which reflect the well-conserved nature of vesicle trafficking proteins. These results are consistent with previous works showing that intrinsic disorder is not necessarily correlated with organism complexity The importance of disordered regions in vesicle trafficking is also well reflected by the fact that almost all the main functional groups have highly disordered (>50%) members in both species. The big differences observed between the disorder contents of different groups nonetheless imply that certain functions require the presence of disordered protein segments more than others.Not surprisingly, most coat proteins are mainly structured, since they tend to fold into rigid cage-like structures on the surface of all types of vesicles. Despite much different cage architectures, they all contain the same two types of folded building blocks: \u03b1-solenoids and \u03b2-propellers. Only the group of clathrin light chains (CLCs) was predicted to be largely disordered, while the different Sec31 COPII coat subunits possess a long disordered segment between their structured domains. The dynamic nature of the highly disordered CLC has an important role in the regulation of clathrin lattice assembly through allowing for large conformational switches, which also influence the conformation of the heavy chain knee regions Some of the proteins involved in fusion-related functions also showed a considerable amount of disorder, although most of the functional groups here had rather low disorder content. The SNARE group was the most disordered among these in both species, since the different SNARE homology domains are unfolded in their monomeric form 2+-induced signal for this 2+ signal to complexins is not yet fully understood. According to our predictions, complexin regions forming the helixes in the complexes are unfolded in their monomeric state, just like the SNARE coiled coil homology domains that they are mimicking.The NTSR group, although showing relatively low overall disorder content, contains the most disordered protein family of our data set, that of complexins. These SNARE regulatory proteins are predicted to be almost completely unfolded. In their complexes the \u2018central helix\u2019 of complexins is interacting with one SNARE complex, while their \u2018accessory helix\u2019 forms a bridge to another SNARE complex, occupying the empty v-SNARE binding site to inhibit vesicle fusion. Their accessory helix was thought to compete with the v-SNARE homology domain for binding the prefusion t-SNARE complex, but recently it was shown rather to help organizing the t-SNAREs into a zigzag topology that is incompatible with fusion The group of \u201cadaptor and sorting proteins\u201d showed the highest number of extremely disordered members, especially because of the non-complex-forming clathrin adaptors. Although it contains many fully structured complex subunits as well , it is quite evident that intrinsic disorder has a fundamental role in maintaining many of the functions carried out by this group, such as linking the coat scaffold to the cargo and to the membrane, helping vesicle coat assembly by binding the coat subunits, and communicating with other accessory proteins. The dependency on structurally disordered regions must be the largest in case of the clathrin system, since most of the individual clathrin adaptors, many of the accessory proteins and also some of its enzymes (like synaptojanins) have extremely long disordered tails with a large collection of several protein interaction motifs. Also, when searching for those solitary folded domains, which behave like structured \u201cislands\u201d, surrounded by extended disordered regions on either or both sides, most of the examples that we could identify belonged to the ASP group of the clathrin-mediated system. These proteins seemed to be the best candidates for the fly-casting mechanism, since they could behave as a fishing stick, their folded domain being fixed to the surface of the vesicle or to bigger protein complexes, while their disordered, flexible tail can freely reach for their various partner proteins over relatively long distances. This binding mode can be especially advantageous in the vesicle assembly process because it may enhance the speed of recognition and bring the coat components into close proximity to the surface of the budding vesicle. Unstructured proteins have larger capture radius that helps them efficiently utilize their many interaction motifs. Additionally, we collected several examples from the PDB that provide structural evidence for protein interactions mediated by the induced folding of disordered binding regions in clathrin system related proteins. Many of these structures showed the same domain, the AP-2 \u03b1-adaptin ear domain, facilitating specific interactions with disordered binding motifs of its partner proteins . The parThe functional importance of disordered regions was also well reflected by the conserved nature of their location, while the variability in their length and their low sequence similarity showed their increased adaptability and tolerance against mutations compared to folded domains. When investigating orthologous protein pairs from human and yeast, the location of disordered regions was found to be quite conserved, while their length appeared to be more subject to evolutionary change. In case of the Sec16 pair, the long disordered regions surrounding the structured domains were very well preserved, and even the lengths of the two proteins were highly similar. Since almost the entire length of the two long disordered \u201carms\u201d of the proteins is covered by predicted disordered binding sites in a well-conserved way, their essential role in the initiation of the COPII coat assembly is very likely. The level of conservation in these regions seems to heavily depend on the specific functional needs of the given protein. In case of the Sec24 orthologous pair, for instance, the human sequence has a considerably long N-terminal unstructured region, which is almost completely missing from the yeast counterpart. The presence of numerous predicted disordered binding regions implies that this region is the result of adaptive evolution. Since this protein is a key player in cargo recognition and binding, which obviously involves a larger repertoire of possible cargos in human, the emergence of such adaptive regions could provide indisputable benefits.Toxoplasma gondiiCaenorhabditis elegansOur results showing that the clathrin system is significantly more disordered than the COPI and COPII systems not only imply the larger dependence of this system on disordered protein segments and support the concept of highly dynamic networks formed by its proteins, but also explains much about the differences between the three routes from the evolutionary point of view Taken together, these observations on the many different adaptive changes manifest on clathrin-route related proteins strongly support the idea that it has been favoured by evolution over the two other main trafficking systems. Until now, the structural background of this phenomenon had not been established. In this study we show how structural disorder found in this system underscores its exceptional adaptability. We analyzed the moonlighting abilities and tissue specific functions of the proteins in the three main vesicle trafficking routes, as they are both strong indicative measures of adaptability. The clathrin route clearly stands out, having the highest number of non-vesicle trafficking interaction partners and the most verified tissue specific exons. The correlation between these abilities and the disordered nature of the corresponding proteins/protein regions in general had been previously suggested Clathrin-route associated proteins have significantly more off-pathway interactions than COPI- and COPII-route associated proteins. Out of the most \u201cinteractive\u201d 21 proteins, 19 are clathrin-route related, many of them having disorder regions . More than one third of all off-pathway interactions of the three routes are mediated by only 9 non-complex-forming clathrin adaptors, most of which have LDRs densely covered by predicted DBRs and/or are highly disordered, meaning that more than half of their residues reside in disordered regions. The clathrin-route proteins also show more ability to maintain tissue specific functions than the proteins in the other two routes. 75% of all TSEs were found in clathrin-route associated genes, together with approximately the same ratio of TSE encoded predicted DBRs residing in clathrin proteins. TSE-encoded protein regions are almost twice as disordered as the proteome average, and they have an increased capacity to host interaction sites (one in every 40 residues in our dataset). These findings are in good agreement with the general view that TSE-encoded protein regions are enriched in protein disorder In summary, we found many functional modalities enabled by disordered regions to be present in vesicle trafficking proteins. These include regulatory roles, the use of flexible linkers, mediating protein-protein interactions with proteins of the same route or others, or the quick assembly of large macromolecular complexes by fly-casting. Taken together, our results provide compelling evidence for the functional involvement of structural disorder in the main vesicle trafficking systems. The presence of highly disordered proteins in almost all the main functional groups of vesicle trafficking proteins emphasized the unquestionable importance of disorder for this cellular process in general. The remarkable differences in its abundance between the three main trafficking routes, however, provided structural background for long standing observations on the functional and evolutionary differences of these systems.Table S1Vescile trafficking-related human proteins. All human proteins related to vesicle trafficking, with various measures of predicted protein disorder.(XLS)Click here for additional data file.Table S2Vescile trafficking-related yeast proteins. All yeast proteins related to vesicle trafficking, with various measures of predicted protein disorder.(XLS)Click here for additional data file.Table S3Off-pathway interaction partners of vesicle trafficking proteins. The number of high confidence, non-vesicle trafficking related (off-pathway) interaction partners of proteins of the three vesicle-associated pathways in humans.(XLS)Click here for additional data file.Table S4Tissue-specific exons (TSEs) in budding- and fission-associated human proteins have been collected from Wang et al. . The resulting 44 coding exons are mapped onto Ensembl transcripts, and their various disorder parameters are given.(XLS)Click here for additional data file."}
+{"text": "Dear Editor,\u201cMineral and bone disease in black African hemodialysis patients: a report from senegal\u201d by Seck and all published in Nephro-Urology Monthly is an interesting paper .Disturbances in mineral and bone metabolism are common in patients with chronic kidney disease (CKD). Patients with CKD almost always develop secondary hyperplasia of the parathyroid glands, resulting in elevated blood levels of parathyroid hormone (PTH) . Normal Bone radiographs are not indicated for the assessment of bone disease of CKD. Seck and all used X-ray for detecting looser\u2019s zones and vascular calcifications. Bone radiographs are also useful in detecting calcification articular cartilages and periarticular tissues in renal osteodistrophy. On the other hand, osteosclerosis occurs in 9-34% of patients (CKD-MBD is a common worldwide problem in patients with CKD. Adequate dialysis and medical treatment are required for the limitation of the destruction of the disease. More effort is needed in this area."}
+{"text": "First we address some pathophysiologic factors contributing to metabolic dysfunction following TBI. We then examine how 13C NMR spectroscopy strategies have been used to investigate energy metabolism, neurotransmission, the intracellular redox state, and neuroglial compartmentation following injury. 13C NMR spectroscopy studies of brain extracts from animal models of TBI have revealed enhanced glycolytic production of lactate, evidence of pentose phosphate pathway (PPP) activation, and alterations in neuronal and astrocyte oxidative metabolism that are dependent on injury severity. Differential incorporation of label into glutamate and glutamine from 13C labeled glucose or acetate also suggest TBI-induced adaptations to the glutamate-glutamine cycle.The present review highlights critical issues related to cerebral metabolism following traumatic brain injury (TBI) and the use of The primary advantage of this technique arises from its ability to distinguish 13C incorporation into multiple metabolites as well as into the specific carbon positions within the same metabolite, resulting in a detailed analysis of the metabolic \u201cfate\u201d of the 13C label , oxidative metabolism within, and interactions between, the neuron and astrocyte compartments (glutamate and glutamine labeling). By using glucose as the substrate, injury-induced changes in the activity of the pentose phosphate pathway (PPP) can be assessed using the ratio between the lactate labeled in two carbon positions (doublet) via glycolysis (C2 and C3) and lactate labeled in the singlet C3 carbon position to the labeling of glutamate labeled in the C4 position via the recycling of pyruvate from labeled oxaloacetate via malic enzyme using either glucose or acetate or the unilateral controlled cortical impact (CCI) injury models of TBI. The FPI model can produce a diffuse pattern of neuronal and axonal injury, while CCI is often termed a more focal injury model due to the contusion induced from microdialysis samples of CCI injured cerebral cortex in rats .As previously described, mitochondrial dysfunction is thought to play a key role in the pathophysiology of TBI. Studies using cytochrome C oxidase histochemistry as a measure of oxidative phosphorylation on the mitochondrial membrane, show a diffuse decrease in staining throughout the injured hemisphere of both FPI studies using dynamic 13C NMR spectroscopy is a logical next step in advancing our understanding brain function after TBI.The studies reviewed above highlight alterations to a number of key metabolic processes during the period of metabolic depression following experimental TBI. Although these studies are valuable in their contributions linking the period of metabolic depression to qualitative changes in a number of metabolic processes, they are limited by their descriptive nature. 13C studies should be to understand the cellular basis of metabolic alterations following TBI. It is important to establish how individual cell types respond to TBI. For example, studies employing compartment specific labels (singly or in combination) could delineate a cell-type specific preference for a metabolic fuel that would preferentially enhance outcome. In addition, future studies of metabolic flux during the acute period of hyperglycolysis could provide direct evidence of the metabolic forces (increased neurotransmission and/or energetics) driving this need. Moreover, comparisons between findings from the acute period of hyperglycolysis and the period of metabolic depression could establish key time points and potential targets for metabolic intervention.One goal of future animal and clinical 13C NMR spectroscopy can be utilized to probe multiple aspects of the metabolic response to TBI, including changes in glycolysis, PPP activity, oxidative metabolism, and neuroglial metabolic compartmentation. As illustrated in the materials reviewed above, numerous experimental treatments that improve cerebral metabolism, reduce neuronal injury, and improve functional outcomes after TBI are currently being investigated, and future studies using 13C NMR spectroscopy to evaluate the metabolic responses to such treatments should provide valuable insights into the mechanisms of actions.TBI induces multiple primary and secondary injury mechanisms that can impact the supply of fuels and/or alter the functions of metabolic enzymes and proteins which can lead to deficits in energy availability. Dr's. Bartnik-Olson and Sutton prepared the initial draft of this manuscript, Dr's. Harris and Shijo contributed additions and edits to the final versions of the manuscript.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Emerging evidence suggests that endothelial diversity would be prominently driven by epigenetic mechanisms which also control the basal expression of endothelial-specific genes. This review outlines evidence for endothelial diversity since early stages of vascular development and how this heterogeneity is expressed in the umbilico-placental vasculature. Furthermore a brief picture of epigenetic mechanisms and their role on endothelial physiology emphasizing new data on umbilical and placental endothelial cells is presented. Unraveling the role of epigenetic mechanisms on long term endothelial physiology and its functional diversity would contribute to develop more accurate therapeutic interventions. Altogether these data show that micro- versus macro-vascular, or artery versus vein comparisons are an oversimplification of the complexity occurring in the endothelium at different levels, and the necessity for the future research to establish the precise source of cells which are under study.The endothelium is a multifunctional heterogeneous tissue playing a key role in the physiology of every organ. To accomplish this role the endothelium presents a phenotypic diversity that is early prompted during vascular development, allowing it to cope with specific requirements in a time- and site-specific manner. During the last decade several reports show that endothelial diversity is also present in the umbilico-placental vasculature, with differences between macro- and microvascular vessels as well as arterial and venous endothelium. This diversity is evidenced From thchanisms .Ncx-1) knockout mice which fails to initiate cardiac contraction Vasculogenesis is the process by which vessels are formed from mesenchymal-derived hemangioblasts which differentiate into endothelial cells . CurrentGrowth and consolidation of the placental vascular tree occurs by angiogenesis. In this process single vessels are formed by endothelial precursor cells (EPCs) which differentiate into endothelial cells, and/or proliferate from endothelial cells. These vessels can spread in two ways, (1) non-branching angiogenesis, which implies an increase in the length of the villous vessels, and (2) branching angiogenesis, in which multiple short capillary loops are formed , increasDuring the last decade, the study of genome-environment interactions has revealed a plethora of mechanisms that modulate short and long term cellular physiology. These mechanisms involve mainly epigenetic processes which control chromatin accessibility in a gene- and cell-specific manner. Definition of epigenetics is still under debate mainly due to the several molecular mechanisms that it comprises and the heritability of these changes in an organism and its progeny; however, a simple and broad definition considers epigenetic mechanisms as \u201cchromosome-based mechanisms that change the phenotypic plasticity in a cell or organism\u201d .Figure 1). As an additional epigenetic mechanism, the presence of non-coding RNAs can post-transcriptionally repress gene expression. Detailed reviews of the diverse epigenetic mechanisms and their effects on gene expression are available alter the structure of the chromatin, generating regions with a \u201cclosed chromatin\u201d conformation. Conversely, DNA demethylation . Initial steps of vascular development in the embryo seem to be influenced by both genetic and environmental stimuli which drive the emergence of two different populations of endothelial cells activity has the opposite effect . Development of vascular dysfunction is accompanied by changes in SMC phenotype, which shift from a \u201ccontractile\u201d to a \u201csynthetic\u201d and \u201cpro-inflammatory\u201d phenotype with long term consequences in the contractile properties of vessels . IncreasPioneer studies by Notably, studies on endothelial cells from arteries and veins have revealed important differences between arterial and venous cells at the same vascular level. In fact the higher mitogenic response observed in PLEC may reflin vitro need further examination. Two recent reports show that the differential gene expression between HUAEC and HUVEC is partially controlled by specific transcription factors. Overexpression of the venous-specific nuclear receptor COUP-TFII in HUAEC decreases the expression of arterial markers , and its down-regulation in HUVEC increases the expression of arterial markers such as VEGF-A, Dll and EphrinB2 and venous (HUVEC) endothelium support the concept that these cells are not a homogenous population, and the necessity of clarifying the precise source of cells when the term \u201cmacrovasculature\u201d is used. A general characterization shows that there is a different profile of phospholipids with higher levels of arachidonic acid-related species and heterogeneous expression pattern of selenoproteins in HUAECEphrinB2 . Moreove pattern .Therefore, the phenotypic diversity in the umbilico-placental circulation is apparently commanded, at least in part, by an equivalent diversity in epigenetic mechanisms.In vivo VEGFR3, which is commonly expressed in lymphatic endothelium or during active angiogenesis in HUAEC but decreases the expression of venous markers (COUP-TFII) in HUVEC . Laminarproteins endothelproteins in HUAEC2decreases placental venous microvascular endothelial cells viability with no effect on their arterial counterparts increases the expression of the pro-angiogenic factor protease-activated receptor 2 in HUVEC and this effect is higher in HUAEC . Further studies should include control comparison between arterial and venous endothelial cells from the same branching level to rule out potential differences attributable to arteries and veins rather than micro- and macrovascular vessels. It is worth to note that most of the differences occurring among these cells types could be reverted by genetic manipulation. However, its persistence in vitro suggests that additional mechanisms controlling gene expression should be operating, arguing for a crucial role for epigenetics in this process.Altogether these data show that venous-arterial endothelial phenotypic diversity occurs among umbilical and placental vessels and ARG2 (arginase-2) promoters by pyrosequencing in HUAEC, PLAEC and HUVEC, suggest the presence of site-specific differences between these cells. Methylation status at NOS3 promoter in umbilical and placental endothelial cells showed differences in three specific CpG between arterial and venous endothelial cells . Two of DNA methylation is one of the main epigenetic mechanisms that controls long term gene expression, showing a high reproducibility after every cellular replication and this characteristic is driven by the activity of DNA methyltransferase-1 (DNMT1). In IUGR HUAEC and HUVEC DNMT1 silencing shows a differential effect, reducing and increasing basal eNOS expression, respectively . SilenciAlthough the studies in PLAEC and PLVEC , and in Altogether these seminal data show that epigenetic mechanisms could be responsible for the phenotypic diversity of endothelial cells in the umbilico-placental unit, and these mechanisms would be operating in a cell- and gene-specific manner. The current research on the area is offering novel data about potential mechanisms but still further studies are required to have a comprehensive picture of the additional epigenetic mechanisms controlling the gene expression in physiological and pathophysiological conditions and its consequences in umbilico-placental functions.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "The ranking of scores of individual chemicals within a large screening library is a crucial step in virtual screening (VS) for drug discovery. Previous studies showed that the quality of protein-ligand recognition can be improved using spectrum properties and the shape of the binding energy landscape. Here, we investigate whether the energy gap, defined as the difference between the lowest energy pose generated by a docking experiment and the average energy of all other generated poses and inferred to be a measure of the binding energy landscape sharpness, can improve the separation power between true binders and decoys with respect to the use of the best docking score. We performed retrospective single- and multiple-receptor conformation VS experiments in a diverse benchmark of 40 domains from 38 therapeutically relevant protein targets. Also, we tested the performance of the energy gap on 36 protein targets from the Directory of Useful Decoys (DUD). The results indicate that the energy gap outperforms the best docking score in its ability to discriminate between true binders and decoys, and true binders tend to have larger energy gaps than decoys. Furthermore, we used the energy gap as a descriptor to measure the height of the native binding phase and obtained a significant increase in the success rate of near native binding pose identification when the ligand binding conformations within the boundaries of the native binding phase were considered. The performance of the energy gap was also evaluated on an independent test case of VS-identified PKR-like ER-localized eIF2\u03b1 kinase (PERK) inhibitors. We found that the energy gap was superior to the best docking score in its ability to more highly rank active compounds from inactive ones. These results suggest that the energy gap of the protein-ligand binding energy landscape is a valuable descriptor for use in VS. Understanding the mechanism of ligand-receptor recognition plays an important role in the identification of novel compounds for pharmaceutical development http://pocketome.org/website for details). Henceforth, we will refer to this benchmark as the Pocketome benchmark. The second benchmark consists of 468 X-ray protein conformations of 36 pharmaceutically relevant protein targets from the Directory of Useful Decoys (DUD) The goal of this study is to investigate the contribution of intermolecular binding energy landscapes to the quantitative assessment of the quality of ligand recognition by protein receptors on a large and diverse benchmark of therapeutically relevant proteins. Based on studies performed in Two diverse benchmarks were used to investigate the ability of the energy gap to discriminate true binders from decoys. The Pocketome benchmark consists of 485 X-ray conformational ensembles (334 holo structures and 151 apo structures) of 40 domains from 38 therapeutically relevant protein targets The receptors were set-up by deleting the chains, heteroatoms, and prosthetic groups not involved in the binding site definition. The protein atom types were assigned, and hydrogen atoms and missing heavy atoms were added. The added or zero occupancy side chains and polar hydrogen atoms were optimized and assigned the lowest energy. Tautomeric states of histidines and the rotations of asparagine and glutamine side chain amidic groups were optimized to improve the hydrogen-bonding patterns. The cognate ligands were deleted from the complexes only after hydrogen optimization.Coordinates of the ligands were extracted either from the crystallographic complexes or according to DUD. Bond orders, tautomeric forms, stereochemistry, hydrogen atoms, and protonation states were assigned automatically by the ICM chemical conversion procedure. Each ligand was assigned the MMFF in vacuo. Each conformer was locally minimized with relaxed bond lengths and bond angles using the MMFF-94 force field in order to remove any bias towards receptor-bound covalent geometry. The generated conformers were then placed into the binding pocket in four principal orientations and used as starting points for Monte Carlo (MC) optimization. The BPMC docking runs were performed using thoroughness setting of 2, which controls the basic number of BPMC steps to be carried out.The well-established ICM docking program was used for the docking calculations. ICM addresses the docking issue as a global optimization problem, implementing a biased probability Monte Carlo (BPMC) global stochastic optimization of the flexible full-atom models of the ligand in the set of grid potential maps representing the protein Evw, Eel, Ehb, Ehp, and Esf are van der Waals, electrostatic, hydrogen bonding, and nonpolar and polar atom solvation energy differences between bound and unbound states, respectively. Eint represents the ligand internal strain and \u0394STor is its conformational entropy loss upon binding. The \u03b1 coefficients are empirical weights that balance the different terms.For each docking simulation a stack of diverse binding poses was generated, and their respective scoring energies were evaluated using the ICM scoring function For each ligand-receptor pair, three docking runs were performed and 200 binding poses were obtained after each run. All binding poses accumulated after each run were merged in a single conformational stack, and only the geometrically unique solutions, with corresponding energies sorted from low to high, were retained. The energy gap between the lowest energy (best scored pose obtained from three docking runs) and the average energy of all other poses scored in the searched binding energy landscape was calculated and used as a score to discriminate true binders from decoys. If the lowest energy or the average energy of all other poses obtained from the docking runs were found to have a positive value, then those protein-ligand complexes were not included in the final dataset because of possible indication of protein-ligand clashes or other structural anomalies, such as high conformational strain. Performances of the energy gap and the best docking score were evaluated through retrospective SRC and MRC VS experiments aimed at separating known ligand binders from decoys. For the Pocketome benchmark, the evaluation of docking scores and energy gaps for true binders was performed by docking ligands co-crystallized within a given domain to the ligand binding pocket of all conformations of this domain. Henceforth, we will refer to those ligands as true binders. The cognate receptor structures were not included in ensemble docking calculations. The cross-docking effort was aimed at generating diverse decoy complex structures. For every domain, (i) the size range of all cognate ligands was determined as the number of their heavy atoms and (ii) 20 ligands chosen randomly from a dataset of ligands of comparable size (\u00b120% of cognate ligand size) were docked into the ligand binding pocket of all conformations of this domain. For DUD benchmark, active ligands (we will refer to those ligands as true binders too) and decoys of a given protein target were docked to the ligand binding pocket of all conformations of this target. The performance of the energy gap was evaluated through MRC VS. For the PERK homology model we tested the performance of the energy gap on 32 compounds, including 20 active and 12 inactive, validated by in vitro kinase inhibition assay N top-ranked hits (both among true binders and decoys) predicted by VS, where N is the number of true binders for a given protein target. The discrimination abilities of the energy gap and the best docking score were systematically compared.Using the approaches proposed above, the binding energy landscapes of true binders and high-scoring decoys were obtained. We hypothesized that a significant difference between these two landscapes should be observed. The energy gap of the binding energy landscape was used as a score and was evaluated for its ability to distinguish true binders from decoys. The ROC (receiver operating characteristic) curve, or ROC AUC, was used to evaluate the performance of the energy gap. ROC curve analysis \u03c3 is calculated by performing 20 random statistical experiments in which the ranks are reshuffled, calculating individual ROC AUCs and calculating the root mean square deviation of those ROC AUCs. For each ROC AUC value obtained on a given subset of binders and decoys for a given structure, its P-value was calculated as the probability of obtaining the same AUC by random coincidence:erf is the error function \u03c3 is the standard deviation. P-values below 0.05 indicate that the ROC AUC values are statistically significance, while P-values greater than 0.05 indicate that the ROC AUC values are statistically less significant.To evaluate the statistical significance of the obtained ROC AUC values, we assumed that they are distributed according to Gaussian distribution with mean 0.5. The uncertainty The receptor and ligand preparations, the docking simulations, and the energy and gap evaluations were carried out with ICM 3.6-1e . The hardware facility employed in the present study was a 16 64-bit Intel XEON X5560 CPUs Linux-based cluster at New York University School of Medicine . It takes 20\u201340 seconds to dock one compound into one receptor and perform post docking conformational stack evaluation on a single CPU.In this study the data set was utilized to investigate the ability of the energy gap in the searched binding energy landscape to discriminate true binders from decoys. The evaluation of the best docking scores and the energy gaps for true binders and decoys was carried out as is described in the Materials and Methods section. As an example of a binding energy landscape and evaluation of the energy gap, the docking of Chk1 protein kinase inhibitor (PDB HET ID: 422) to Chk1protein kinase (PDB ID: 2br1) is presented in First, the energy gap was evaluated for its ability to distinguish true binders from decoys for each 485 single receptor conformation, included in the Pocketome benchmark, individually. The performances of the energy gap and the best docking score were measured as the area under the ROC curve, or ROC AUC . The resulting distributions of AUC values are presented in Previously, in Consideration of the receptor flexibility is crucial for structure-based drug design and VS methodologies In By using the energy gap, the binder/decoy discrimination ROC AUC value was improved for 77% protein domains when compared to the performance of the best docking score. The improvement was particularly high for the previously problematic cases (weak performance of the best docking score) with original AUC values below 0.9. For these cases we obtained improvement in 83% of protein domains .bona-fide\u201d \u22127.Furthermore, the performance of the energy gap in true binders/decoys discrimination was evaluated through MRC VS against 468 high resolution X-ray protein conformations of 36 pharmaceutically relevant protein targets from the Directory of Useful Decoys (DUD), which is one of the most challenging test sets for benchmarking VS. The biggest challenge comes from the fact that true binders included in DUD are selected based on experimental activity and independently from receptor X-ray structures. In addition to that, decoys included in DUD are \u201cN top-ranked hits sorted by the energy gap and the best docking score, where N is the number of true binders for a given protein target, are presented. Obtained results indicate that the energy gap rewards early recognition better compared to the best docking score in 50% of protein targets and in another 19% of protein targets the energy gap and the best docking score reward early recognition identically. These results certainly indicate that the energy gap outperforms the best docking score in its discrimination performance.Because successful VS ranks true binders early The folding landscape of proteins has two major phases, a) molten globule phase where the system has high entropy and energy, and b) native phase where the system has low entropy and energy We consider the case when half or more of the X-ray structures included in the dataset show AUC values greater than 0.9 as an indicator of a good performance. As it can be seen in The prediction of the ligand native binding pose is an essential problem in drug discovery. As we mentioned in the introduction, literature has already reported that the correct binding pose is often not the best scored solution, and consideration of a small set of representative docking solutions significantly increases the success rate of near native binding pose identification To further evaluate the discrimination ability of the energy gap, we tested its performance on a more sophisticated case: VS against a protein homology model. We applied the binding energy landscape analysis to PERK inhibitors that were recently discovered using homology models All of the docking experiments in this paper were performed with ICM, and logical questions could arise about the applicability of obtained results to other platforms. Consistency between our findings and results obtained in independent studies There is no doubt that it is difficult to avoid errors when evaluating the binding energy levels corresponding to different docking poses In this study we investigated the screening performance of the energy gap between the lowest energy (best scored pose) and the average energy of all other poses scored in the searched binding energy landscape to discriminate true binders from decoys. We performed the study based on the assumption that the energy gap calculated during docking is a measure of the binding energy landscape sharpness, an assumption which was previously proposed and supported in silico but may be biologically irrelevant due to its statistical mechanics profile: it may have a preference for many sites on the receptor and on other receptors at once. The presence of a funnel-shaped energy landscape, detectable by an energy gap as we have defined it here, may discriminate these artifactual ligands from physiologically relevant ligands exhibiting the same level of in silico complementarity in their final bound state. Based on obtained results, we can conclude that the energy gap reported by VS algorithms contains information distinguishing between these two scenarios. The successful integration of binding energy landscape scores (such as the energy gap investigated in this study) with the usual VS lowest energy score can improve the physiological relevance of well established approaches in VS for rational lead discovery, which are often adequate in discriminating binders from the background but generate many false positives. From this study, we suggest that in VS experiments the binding energy landscape analysis should be applied after all clearly structurally incompatible chemicals are filtered based on the lowest energy score. After this step all binding conformations within the boundaries of the native binding phase have to be investigated and analyzed in detail.VS is based on the assumption that the final state of the ligand-receptor complex contains all the necessary information for the discrimination of biologically relevant ligand-receptor complex conformations from biologically artifactual alternatives. Notably, a ligand may show excellent complementarity with a receptor target pocket Table S1PDB IDs, Swiss-Prot IDs and performance of 485 X-ray protein conformations included in the Pocketome benchmark.(XLS)Click here for additional data file.Table S2PDB IDs, Swiss-Prot IDs and performance of 334 holo X-ray protein conformations included in the Pocketome benchmark.(XLS)Click here for additional data file.Table S3PDB IDs, Swiss-Prot IDs and performance of 151 apo X-ray protein conformations included in the Pocketome benchmark.(XLS)Click here for additional data file.Table S4Swiss-Prot IDs and performance of 40 protein domains included in the Pocketome benchmark.(XLS)Click here for additional data file.Table S5Swiss-Prot IDs and performance of 40 protein domains when only holo structures included in the Pocketome benchmark were considered.(XLS)Click here for additional data file.Table S6Swiss-Prot IDs and performance of 36 protein domains when only apo structures included in the Pocketome benchmark were considered.(XLS)Click here for additional data file.Table S7The performance of the energy gap obtained from single-receptor conformation VS for 485 X-ray protein conformations included in the Pocketome benchmark when different energy cutoffs from the best docking score were applied to cluster binding conformations within the native binding phase.(XLS)Click here for additional data file.Table S8Complete MRC VS DUD benchmark.(XLS)Click here for additional data file."}
+{"text": "The glycosaminoglycan heparan sulphate (HS) has a heterogeneous structure; evidence shows that specific structures may be responsible for specific functions in biological processes such as blood coagulation and regulation of growth factor signalling. This review summarises the different experimental tools and methods developed to provide more rapid methods for studying the structure and functions of HS. Rapid and sensitive methods for the facile purification of HS, from tissue and cell sources are reviewed. Data sets for the structural analysis are often complex and include multiple sample sets, therefore different software and tools have been developed for the analysis of different HS data sets. These can be readily applied to chromatographic data sets for the simplification of data have paved the way for bioassay technologies which utilize cell arrays to study the effects of multiple macromolecules on cells. Glycan bioassay technologies are described in which immobilisation techniques for saccharides are exploited to develop a platform to probe cell responses such as signalling pathway activation. This review aims at reviewing available techniques and tools for the purification, analysis and bioassay of HS saccharides in biological systems using \u201cglycomics\u201d approaches. Following the success of naming certain subdivisions of sciences with the suffix \u201comics\u201d, the term \u201cglycomics\u201d was coined to describe the comprehensive study of the glycome, with the glycome itself characterised as the complete set of glycan structures expressed at a particular time and spatial position in specific cells, tissues or organisms . This reO-glycosidic bond. In the case of keratan sulphate (KS) some forms are also linked via an N-asparaginyl bond. Proteoglycans are thus characterised by the vast diversity of GAG structures which decorate them. Members of the GAG family are long unbranched molecules which can be simplified into a repeating disaccharide structure, where one sugar is an uronic acid, either glucuronic acid (GlcA) or iduronic acid (IdoA) and the other is either an N-acetylated glucosamine acid (GlcNAc) residue or a N-acetylated galactosamine residue (GlcNAc). These sugar residues can be sulphated in different positions depending on the type of GAG. In the case of the simplest structural member of the family, hyaluronic acid, there is a repeat unit of GlcA and GlcNAc with no sulphate groups, which is in contrast to chondroitin sulphate , keratan sulphate and dermatan sulphate (L-iduronate (which can be sulphated) and GalNAc-4- sulphate). Heparan sulphate (HS) is another type of GAG and is described in detail in the next paragraph. In general all GAGs are highly negatively charged which is essential for their functions which range from structural support in the matrix to lubricating joints, and regulating protein bioavailability and activity.Proteoglycans are widely distributed in animal tissues and are synthesised by nearly all types of cells . GlycosaHS is a ubiquitous linear polysaccharide molecule, belonging to the GAG family of macromolecules. HS chains are found covalently attached to core proteins to form HS proteoglycans (HSPG). Attachment of HS to different core proteins results in HS having the ability to alter its location and topography as core proteins such as syndecans and glypicans are targeted to the cell surface whereas perlecan, agrin and collagen XVIII are found in the extracellular matrix . In addiN-acetylglucosamine residue (GlcNAc). The glucosamine may remain acetylated (GlcNAc) or be sulphated (GlcNS) at the amino position, or may also be found in an unsubstituted form (GlcNH2) thymidine. Cells numbers can be quantified using colorimetric products such as 3--2,5- diphenyltetrazolium bromide, a tetrazole (MTT) which is reduced by the mitochrondria of living cells [The ability of HSPGs to bind to different FGF growth factors and growth factor receptors to induce DNA synthesis or cell proliferation has been extensively studied ,123. Celng cells .Cell adhesion assays have been important in assessing the ability of cells to adhere to a surface. Cells can be suspended in a buffer and allowed to interact by gravity. The number of adhered cells can be ascertained with a haemocytometer or a Coulter counter to count the number of cells. Cell invasion assays have also been useful in assessing the ability of cells not only to adhere but also enter cells, such as myeloma cells. A hydrated type I collagen gel can be used to assess the distance and depth of cell invasion. Detection using phase microscopy has been useful in measuring the depth of cell invasion. Non-specific interactions can also be removed by protease digestion of non-invasive cells. These assays can provide information on a number of factors as they are easily manipulated using promoters or inhibitors .HSPGs are involved in the sprouting of new blood vessels from the existing microvascular system (angiogenesis) as they bind many inhibitors of this process . AngiogeA common method to study the downstream effects of different structures of HSPGs is by detection of different proteins and protein phosphorylation involved in different cellular signalling pathways . This isHigher throughput assays are now being favoured for the study of many molecules. The use of higher throughput (HTP) assays in the study of HS would improve the study of HS as difficulties in purifying HS mean that only small quantities of certain structures are available. Using a HTP assay means: reduced time for experiments; elimination of radioactive waste and reduction in chemical waste; reduction in quantities of HS saccharide and valuable consumables needed.Traditional cell based screening techniques using microtitre plates suffer from low numbers of samples which can be studied simultaneously. The sequencing of genomes has drastically changed the emphasis and direction of research. In this post-genome era emphasis has been put on validating specific gene targets with particular functions and disease states, and has led to biopharmaceutical companies increasing their cell based screening activities from 30% to 50% . The useDNA microarray platforms were first described and patented in 1998 for the analysis of the expression of different genes and quantitation of nucleic acid and protein interactions . Microarin situ hybridization (FISH), RNA using mRNA in situ hybridization and proteins using immunohistochemistry. Tissue arrays allow the simultaneous analysis of 1000 tissue biopsies [Many different types of cell array platforms have emerged to date. Tissue arrays contain arrays of cylindrical tissue biopsies from individual donor paraffin embedded tumour blocks which are placed in a certain position onto a \u2018recipient\u2019 paraffin block, using specialist equipment. Tissue arrays allow the parallel detection of DNA using fluorescence biopsies and havebiopsies .glycoarrays or glycan arrays) has lagged behind other biological molecules, with scientific literature appearing only in 2003 [The use of microarrays for the study of carbohydrate interaction and van de Waals hydrophobic interactions. Immobilization is strengthened by the removal of water between the immobilised carbohydrate and the hydrophobic surface .in vitro functional assays using cell biology approaches often require high cell numbers or larger amounts of reagents that are not always available, especially in the case of saccharides. Therefore, the development of slide-based functional screening assays may allow the screening and differentiation of different and larger populations of saccharide structures. Although array methods have been described employing living cells for RNAi transfection and small molecule responses [N-acetylgalactosamine (GlcNAc)residues, galactose and N-acetylgalactosamine residues. Primary chicken hepatocytes express a well-defined C-type lectin that binds to non-reducing terminal N-acetylglucosamine residues, and was labelled with a fluorescent dye. A specific chamber was used to remove non-adherent cells (GlycoChip\u00ae Centrifugation Chamber) and adherent cells were measured using fluorescence detection. Chicken hepatocytes bound selectively to lectin derivatized with GlcNAc structures rather than spots of lectin with Gal or no modifications [Current esponses ,147,148,esponses ,152,153.However a more recent study shows that a slide-based technology utilizes the immobilization of saccharides onto aminosilane surfaces via a Schiff\u2019s base linkage with the reducing ends in order to assess cellular reponses to glycans . SignifiGlycomics techniques for the large scale structural and functional analysis of HS glycans now have real potential to be extended to study natural HS saccharide libraries, the production of which has recently been described , and als"}
+{"text": "Spike-wave discharges (SWD) are a striking phenomena detectable on the electroencephalogram (EEG) of all patients during absence seizures. There is experimental and clinical evidence to suggest that seizures can be terminated early through the use of short auditory stimulation , howeverIn this work we extend the model of to accou"}
+{"text": "From September 14 to 16, 2011 the 12th symposium on Plant Protein Phosphorylation was held in T\u00fcbingen, Germany. The topic is as broad as the name suggests and covers all aspects of this important means of protein modification in plants. I have had the pleasure of attending the 2007 and the 2011 symposia. The interesting concept behind these meetings is to hear about the same biochemical mechanism operative in a multitude of experimental systems. The meetings are quite informal and present an excellent mix ranging from technology to biochemical experience and novel findings and tools.++ pathways and phosphoproteomics. It was hosted by the Zentrum f\u00fcr Molekularbiologie der Pflanzen (ZMBP) and the organizing committee chaired by Klaus Harter.The two-and-a-half-day program was divided into five double sessions: biotic interactions, hormone signaling, abiotic interactions, Mitogen Activated Protein Kinase (MAPK), and CaIn the biotic interactions session the role of phosphorylation in Pathogen-Triggered Immunity (PTI) was the central topic. Several speakers discussed differential phosphorylation events after turning on the PTI pathways. The first presentation was by Yuelin Zhang (Beijing) who discussed recent work on identifying targets of the MAPK pathway using a suppressor screen. To what extent cross talk between growth and PTI pathways exists at the level of the receptors was discussed by Cyril Zipfel (Norwich). Important points raised were whether the dynamics of receptor activation as observed in brassinosteroid receptors are directly applicable to the non-Arginine Aspartic Acid (RD) type of kinases that seem to feature in most PTI pathways. A very intriguing report was made by Iris Jarsch (Munich), suggesting a role for remorins to sequester receptors in small membrane micro domains. Looking in the very first events of membrane receptor activation, it appears that changes in heteromeric state of Flagellin Sensing 2 (FLS2) and BRI1 Associated Kinase (BAK1) can be seen a mere few seconds after ligand application . Speed was also the topic of a presentation from the host , showing evidence for direct activation of plasma membrane adenosine triphosphatases (PM ATPases) by the BRI1 receptor. Down-regulation by endocytosis of the FLS2 receptor, negative control elements such as phosphatases appear to play more and more important roles in controlling receptor activity and sensitivity while genes have been identified that modulate the calcium signature of the PTI response .A much-explored theme in the signaling session was to isolate receptor-interacting proteins by direct pull downs or yeast interaction screens. This was used in approaches by Sorina Popescu (Ithaca) investigating reticulon-like proteins that regulate trafficking and activity of FLS2 and Sacco de Vries (Wageningen) looking at the interaction properties of members of the Somatic Embryogenesis Receptor-like Kinase (SERK) family of non-ligand binding coreceptors that includes BAK1(SERK3). Other work dealt with control of cellulose synthase by phosphorylation , subcellular relocalization of Pin-formed (PIN) proteins through phosphorylation by PINOID kinases and several talks on the direct control of abscisic acid (ABA) signaling by Protein Phosphatase 2C (PP2C) enzymes including interesting kinases that lack the conserved lysine in the catalytic domain called With No K (WNK)s; Esther G\u00f6rlich, Heidelberg). Using an alternative approach by comparing phosphorylation patterns in the presence or absence of a specific inhibitor of the salicylic acid (SA) response-mediating Casein Kinase 2 (CK2), an SA-induced phosphorylated p23 protein was identified that may act in a Heat Shock Protein (HSP) 90 complex . Clearly, molecular approaches using phospho-site mutants are generally applied to unravel functional relevance of the proteins under investigation.Arabidopsis S-phase Kinase Associated Protein 1 (SKP1)-like 5 (ASK5) kinase in linking adaptive regulation of the redox balance via control of the phosphorylation status of the pentose phosphate entry enzyme glucose 6-phosphate dehydrogenase (G6PD). To enlarge the scope of the downstream changes in phosphorylation patterns upon stress induction several talks used ABA signaling as a starting point to describe genome-wide changes in the phosphoproteome. The challenges in these large-scale projects are obviously the reliability of the predicting software, the coverage obtained, and the required biological verification of the changes encountered. The last two talks in this session were given by Markus Teige (Vienna) and Thomas Gu\u00e9rinier (Orsay). Teige described an elegant approach to purify kinases that give specific changes to target transcription factors, in this case a member of the basic region Leucine Zipper (bZIP) family involved in metabolic reprogramming. This approach also highlighted the temporal and site specific dynamic changes in the phosphorylation pattern. A different set-up was used by Gu\u00e9rinier to identify peptide-based kinase assays to identify novel modulating kinase effectors such as nucleotides using Sucrose Non-fermenting 1 Related Protein Kinase 1 (SnRK1) as a model.The next session was devoted to abiotic signaling and started with Jay Thelen (Columbia) introducing a number of nice generally applicable tools to discover phosphorylation sites MUSite and Kinain vivo phosphoproteomics was used to identify direct targets of the CDPKs. How calcium is sensed intracellularly by Calcineurin B-like Proteins (CBLs) and associated CBL-Interacting Protein Kinases (CIPKs) was discussed by J\u00f6rg Kudla (M\u00fcnster) and showed a highly complex signaling network present at the PM and capable of decoding local changes in calcium and effecting directly sodium and potassium channels. From the same lab and in association with the group of Harter (T\u00fcbingen), Kenji Hashimoto presented results showing that the CBL1/CIPK1 pair acts as an important switch in translating light signaling into transcriptional changes. Then the MAPKs took center stage in talks by Souha Berriri (Evry) who used a gain-of-function screen for MAPKs first in yeast, as a tool to identify targets of the MAPK pathway. MAPK4 GOF mutants were then used to help delineate PTI and Effector-triggered Immunity (ETI) targets that run through the same MAPK cascade. The differences and similarities between human and plant innate immunity systems was discussed by Heribert Hirt (Evry) showing that Arabidopsis can be infected by Salmonella typhimurium, the major cause of food poisoning. Two kinases were identified that appear to act in a PTI pathway different from the MAPKs directly under control of PTI-related kinases. Genetic approaches were also employed by Roman Ulm (Geneva) having identified a phosphatase that mediates the UV-B stress response and by Marie Boudsocq (Harvard). In that work, CDPKs were identified that could mimick 22 amino acid flagellin fragment (FLG22) signaling and suggesting that alternative routes exist besides the classical MAPK pathway in PTI signaling. A constitutive CDPK under control of an inducible promoter was used to identify changes in the phosphoproteome .The following session dealt with a series of experimental systems used to gain more insight into the subcellular specificity in signaling systems. The calcium-dependent protein kinases (CDPKs) were presented by Tina Romeis (Berlin) as mediators and perhaps integrators of ABA and Pathogen Associated Molecular Pattern (PAMP) responses. Here The last sessions were devoted to technological advances in phosphoproteomics as being applied to a number of different systems. Themes that emerged were the necessity to use well-defined induction systems, the use of biological and technical replicates and the transient qualitative changes that could be captured.Arabidopsis that clearly showed the improvement of these methods coupled to improved search algorithms. In particular tyrosine phosphorylation appears to be as widespread in Arabidopsis as in our own cells! The effects on the phosphoproteome that can be distinguished after nutrient uptake can be separated into early and late events, involving both different proteins and different phospho-sites. The tools are available through improved web-based applications were employed to provide reliable data. Further improvements in these procedures were presented by Wolfram Weckwerth (Vienna) using better software prediction coupled to metal oxide purifications and by Pururawa Mayank (Z\u00fcrich) using similar approaches but now to describe the pollen phosphoproteome. The last talk was given by Thomas Stratil (M\u00fcnich) returning to the exciting remorin proteins of which one was also found to be important for Medicago root nodule development. It was directly associated with one of the symbiotic RLKs.Naoyuki Sugiyama (Tsuruoka) introduced Hydroxy Acid Modified Metal Oxide chromatography (HAMMOC) reported to increase the yield and specificity of phosphopeptides from complex digests. A number of examples were shown in both rice and Fifty-six posters of excellent quality were on display in front of the auditorium during the entire meeting and formed the central point of discussion during the coffee and tea breaks. In the short space allotted to this report it is unfortunately not possible to describe them all .in vivo determination of particular phospho-sites is feasible. An example of that can be found in a recent publication of the Jenny Russinova Lab and better software have all resulted in a situation that Realization that most phosphorylation changes upon or during activation of a pathway are transient and also multiple will require time-lapse recording experiments at the second and minute time scale. So far this is only possible in single or few protein analyses; for an example of such an analysis using the Epidermal Growth Factor Receptor (EGFR; see Dengjel et al., Efforts to visualize first general and next specific phosphorylation events as is now relatively common in mammalian signaling systems (EGFR; Verveer et\u2009al.,"}
+{"text": "The development of novel methods to overcome the inevitable resistance that develops with common antibiotics is an important area of current research. Recent studies have shown that antimicrobial peptides (AMPs) have the potential to become excellent antibiotic compounds toward a broad-spectrum of Gram-positive and Gram-negative bacteria with less potential for bacterial resistance than conventional antibiotics Shai, . BecauseBacteria have difficulty in developing resistance to AMPs because the toxicity of AMP is mostly mediated by a non-specific process rather than by an interaction with a specific protein target. Most AMPs lyse bacteria by directly interacting with the lipid bilayer of the bacterial cell membrane and disrupting the lipid bilayer structure liquid-disordered (ld) domain coexistences often referred to as \u201clipid rafts\u201d], two studies by the Almeida group demonstrated the permeabilizing activity of \u03b4-lysin in raft-like palmitoyl-2-oleoylphosphatidylcholine/cholesterol/sphingomyelin (POPC/Chol/SM) mixtures encompassing several membrane disruptive mechanisms . These combined results indicate that the phase separation naturally occurring in eukaryotic membranes is likely to nullify the effect of cholesterol against membrane disruption by AMPs. This surprising result suggests either cholesterol is not as important in determining the selectivity of AMPs toward bacterial membranes as once supposed, or unknown additional factors mitigate this effect in eukaryotic cells.While biophysical studies have shown the ability of cholesterol to suppress the action of an AMP against a homogeneous lipid bilayer, recent studies have revealed that cholesterol does not have this same effect in heterogeneous lipid systems (Pokorny and Almeida, The mechanism of action of an AMP in a heterogeneous lipid system is depicted in Figure While the development of AMPs for antibiotic applications is highly important, it is essential to understand the origin of their bacterial selectivity. As mentioned above, recent studies have shown that AMPs easily disrupt the structure of heterogeneous lipid systems, and therefore cholesterol is unlikely to play a major role in reducing the toxicity or increasing the selectivity of AMPs. Since a natural eukaryotic cell membrane contains heterogeneous lipid systems and domains, cholesterol poor domains must be easily disruptable by an AMP. Further studies probing the role of cholesterol in different types of lipid bilayers with a variety of AMPs are essential to better understand the exact role of cholesterol on the toxicity and selectivity of AMPs. Such studies would aid in the design of more efficient AMPs."}
+{"text": "Large bowel seed bezoars are rare and are mostly due to seeds of sunflower, prickly pear cactus, sesame and cucumber. We present a rare case of sigmoid colon seed bezoar due to Box Myrtle seeds because of an underlying benign stricture. A bezoar is the result of the ingestion of indigestible or poorly digestible substances that accumulate in the gastrointestinal tract in the form of a mass. It can result from any substance that is capable of forming concretions within the gastrointestinal tract. The classification of a bezoar is according to the foreign material that constitutes its core and includes - trichobezoar (hair), phytobezoar (fruits or vegetable fibers), lactobezoar (milk curd), lithobezoar (rock-like substances) or combinations like trichophytobezoars.2 Cases o79A 35-year-old female patient presented in the surgery department with dull abdominal pain in the left paraumblical region. She gave a history of progressively worsening obstipation for the past 2 years for which she was using laxatives. No clinical features of obstruction were present. Her routine laboratory tests were normal, except for mild leukocytosis.\u201cKaiphal\u201d or Box Myrtle along with the seeds about 3 weeks ago. Based on the USG findings and history, a diagnosis of colonic seed bezoar was suggested. Contrast-enhanced CT scan of the abdomen revealed the presence of a mass-like lesion in the sigmoid colon involving an approximately 7-cm segment. It was composed of multiple tightly packed ovoid densities having a seed-like appearance, the size of individual seeds ranging from 4 to 8 mm. These showed a hyperdense periphery with a relatively hypodense center with air in the interstices, giving a mottled appearance. Mild associated inflammatory changes were present with circumferential mural thickening (3-4 mm) and stranding of the pericolonic fat [The abdominal radiograph showed localized mottled lucencies in the left lower abdomen. USG revealed mild wall thickening in the region of the sigmoid colon with the presence of an intraluminal, curvilinear, hyperechoic arc-like surface casting a prominent posterior acoustic shadow . Scanninonic fat . A tightThe patient was taken up for colonoscopy and the stricture was dilated. The seed bezoar was disimpacted and 300 g of largely undigested seeds were removed. Biopsy taken from the stricture revealed fibrosis, and no evidence of malignancy was detected.Seed bezoars occur after consuming large quantities of seeds either by eating the fruit together with the seeds or by eating the seeds themselves. In one retrospective study in Israel on fecal impaction by seed bezoars in the rectum in hospitalized patients, phytobezoars were found in 30 patients. The seed bezoars were composed of prickly pear seeds in 12 patients, watermelon seeds in 10 patients, sunflower seeds in 4 patients and popcorn kernel and pomegranate seeds in one patient each.[\u201cKaiphal,\u201d also known as Box Myrtle or Myrica esculenta, is a tree found abundantly in the Indian Himalayas. It bears small berry-like fruits that are usually consumed without seeds. Our patient had consumed large quantities of this fruit along with the seeds because of a lack of awareness. The seeds then became impacted in the sigmoid colon due to the presence of a benign short segment stricture. There is one case report of a patient who presented with large bowel obstruction, which was found to be due to a sesame seed bezoar in the sigmoid colon proximal to a benign postoperative anastomotic site stricture.[tricture.While plain radiographs of the abdomen may be useful in the evaluation of intestinal obstruction, bezoars themselves are only rarely identified. This is because the imaging feature of a bezoar is not characteristic, and can be mistaken for feces or abscess. USG may show the presence of an intraluminal mass with a hyperechoic arc-like surface showing marked acoustic shadowing and may CT scan is considered to be the imaging modality of choice for confirming gastrointestinal bezoars, and shows an intraluminal mass with air in the interstices or an inhomogeneous mass with a mottled gas appearance. CT scan also determines the point of obstruction; it can confirm that the bezoar is the underlying cause of obstruction and also helps detect the existence of additional bezoars. Our pati"}
+{"text": "M.avium and HIV drugs is unavoidable in HIV patients as for an improved life expectancy of HIV patients, additional medications have to be administered along with HIV drugs. The anti-M.avium drug rifabutin and protease inhibitor, ritonavir are associated with significant drug interactions involving the cytochrome P450 (CYP) enzyme system. Little information is available on the role of various drug delivery strategies in alleviations of interactions between anti-M.avium and anti-HIV drugs. The purpose of the present study was to evaluate effect of encapsulation of rifabutin and ritonavir in PLGA nanoparticles on the already known drug interaction exhibited by these drugs.Interaction between This study was designed including administration of rifabutin and ritonavir singly and in combination in free and nanoencapsulated form to swiss albino mice. Blood samples were taken following drug administration at various time intervals and pharmacokinetic parameters were assessed as: area under plasma drug concentration over time curve (AUC0-\u221e), mean residence time (MRT) and Cmax etc.Overall, nanoencapsulation was observed to avoid the known adverse drug interactions between RBT and RTV in the drug interaction study. .Our results clearly emphasize the potential of the PLGA nanoparticle formulation to minimize drug interactions as the encapsulated drugs did not result in any significant alteration in kinetic parameters upon co-administration. It can be reasonably stated that nano-encapsulation would not only permit intermittent dosing but also a more favorable pharmacokinetics which further can overcome the drug interactions."}
+{"text": "Subject blinding is critical to minimizing bias in randomized controlled trials (RCTs). Irritable Bowel Syndrome (IBS) is a complex and often chronic condition with physical and psychological components. For many patients, psychological issues such as anxiety and stress can exacerbate the existing condition. Given the mind-body relationship in this illness, we explored if an individual\u2019s belief in treatment and a belief in being randomized to an active treatment group could impact their self-reported health outcomes.In the parent study, data were gathered in a three-week randomized controlled trial (n=262) testing the therapeutic effect of an Augmented (supportive) patient-practitioner relationship versus a Limited patient-practitioner relationship versus wait list in reducing the symptoms of IBS. During the first three weeks of the trial, all treatments were given in the context of biweekly sham acupuncture treatments to allow the effects of patient-practitioner relationship to be isolated. The second three weeks of the trial began with a blind rerandomization of subjects in the two treatment arms to either continue sham acupuncture or begin real (insertive) acupuncture. Symptom data, expectations, and beliefs concerning blinding were collected at baseline, 3, and 6 weeks. Expectations of treatment group assignment (insertive or sham) and symptom improvement were collected after the first treatment and before weeks 3 and 6 data collection.For all six of our expectancy and belief variables, the Augmented and insertive treatment groups had more positive reports compared to the Limited and sham acupuncture group, respectively; this trend continued in reported symptom relief as well.The risk of subject unblinding may be related to qualities of the patient-practitioner relationship and treatment experience; a better understanding of blinding as a data safeguard is necessary."}
+{"text": "I read with great interest the recent manuscript by Siamak Rimaz on \u201c Effect of Gabapentin on Morphine Consumption and Pain after Surgical Debridement of Burn Wounds: A Double-Blind Randomized Clinical Trial Study\u201d published in Archives of Trauma Research . In thisThe family of opioid analgesics has been the backbone of analgesia in burn patients. However, it is well known that this group of drugs tend to have numerous side effects and recent data has implicated them as being capable of inducing pain N-methyl-D-aspartate (NMDA) receptor antagonists such as ketamine and gabapentin have recently became popular due to the marked opiate sparing effects. The effect of pain modulation on the descending pathways with the use of gabapentin has been shown in numerous studies , 3. Inde"}
+{"text": "To estimate the impact of the cold spell, excess mortality was calculated as the difference between observed and daily expected values. An overall 1578 (+25%) excess deaths among the 75+ age group was recorded in the 14 cities that registered a cold spell in February 2012. A statistically significant excess in mortality was observed in several cities ranging from +22% in Bologna to +58% in Torino. Cause-specific analysis conducted in Roma showed a statistically significant excess in mortality among the 75+ age group for respiratory disease (+64%), COPD (+57%), cardiovascular disease +20% ischemic heart disease (14%) and other heart disease (+33%). Similar results were observed for ER visits. Surveillance systems need to become are a key component of prevention plans as they can help improve public health response and are a valid data source to rapidly quantify the impact on health. Cold-related mortality is still an important issue and should not be underestimated by public health Authorities.In February 2012 Italy was hit by an exceptional cold spell with extremely low temperatures and heavy snowfall. The aim of this work is to estimate the impact of the cold spell on health in the Italian cities using data from the rapid surveillance systems. In Italy, a national mortality surveillance system has been operational since 2004 in 34 cities for the rapid monitoring of daily mortality. Data from this system were used to evaluate the impact of the February 2012 cold spell on mortality shortly after the occurrence of the event. Furthermore, a cause-specific analysis was conducted in Roma using the Regional Mortality Registry and the emergency visits (ER) surveillance system. Cold spell episodes were defined as days when mean temperatures were below the 10 Between January and February 2012 cold polar air from Siberia brought extremely low temperatures and heavy snowfall across most of Europe Near-real time surveillance systems are useful to monitor trends in health outcomes and detect anomalous peaks. Systems have been developed to monitor mortality Several studies have shown the effect of low temperatures and cold spells on health with peaks in both mortality, hospital admissions and ER visits The aim of this work was to provide a rapid estimate of the impact of the February 2012 cold spell on mortality in Italian cities using data from surveillance systems. For Rome only, mortality and ER visits by cause were analysed to better characterise the differential impact of cold on subjects with specific illnesses.th percentile of the February monthly distribution of a reference period (1995\u20132010).Meteorological data refer to the airport stations located closest to the city centre and were obtained from the Meteorological Service of the Italian Air Force. Mean temperature was considered as the exposure variable and cold spell episodes were defined as at least three consecutive days with mean temperatures below the 10The Italian mortality surveillance system was developed for the \u201cnear real-time\u201d monitoring of daily mortality in all cities with more than 200,000 inhabitants and to date includes 33 municipalities In order to investigate the potential biological mechanisms associated with the exposure to cold, cause-specific mortality data and ER visits, for Roma only were considered. Mortality data was retrieved from the Lazio Regional Mortality Registry, while ER visits were retrieved from the ER surveillance system. In 2012, a national ER surveillance system was set up to evaluate the potential impact of heat on non-fatal health outcomes during summer. ER visits by cause were examined for Roma only as this data was already available from the ER surveillance system during the February 2012 cold spell.Causes taken into account were: all natural causes (ICD-IX: 1-799), cardiovascular disease (ICD-IX: 390-459), ischemic heart disease (ICD-IX: 410-414), acute myocardial infarction (ICD-IX: 410-412), other heart disease (ICD-IX: 420-429), cardiac dysrhythmias (ICD-IX: 427), heart failure (ICD-IX: 428) respiratory disease (ICD-IX: 460-519), chronic obstructive pulmonary disease (ICD-IX: 490-496), acute respiratory infections (ICD-IX: 464-466 and 480-487) and injuries (ICD-IX: 800-959).As preliminary exploratory analysis, the mortality and ER visit trends were inspected to see whether the mortality during February 2012 was an exceptional event. A smoothing sine wave component was fitted to the dataset to account for seasonality trends in mortality, reducing noise associated with daily mortality variations in the data. For the identification of significant peaks in mortality, an upper limit was constructed using the Farrington method Secondly, to estimate the health impact of the cold spell on mortality, the excess was calculated as the difference between observed daily deaths and daily expected values from the beginning of the cold spell to the end of the month to account for a possible delay in the effect between exposure to cold and effect typically observed during winter. This approximates the lag period generally considered in time series studies of the effect of low temperatures on mortality For the cause-specific analysis conducted in Roma, excess mortality and excess ER visits were defined as the difference between observed and expected counts by cause for the month of February. As for mortality, the excess in ER visits was defined as difference between daily observed and expected values. The latter was constructed as mean value by calendar week and day of the week during the reference period of four previous winter seasons (2008\u20132011).When we consider mortality during the entire winter season (December\u2013March) an excess was observed in all cities that had an excess during the cold spell as well as several others . The excData from the Italian mortality surveillance system allowed us to rapidly evaluate the effect of the cold spell that occurred in February 2012 on mortality. A significant excess in mortality was observed in many Italian cities as a consequence of the cold spell and throughout the winter season of 2011\u20132012.Mortality trends typically show a peak during winter attributable to the seasonality of infectious disease, in particular influenza, as well as low temperatures and socio-economic factors A cause-specific analysis conducted only in Roma also suggests that most deaths were for respiratory and cardiovascular outcomes. Throughout the literature there are several explanations for this. In our study, respiratory deaths and ER visits registered the greatest proportion of the excess (+64% and +20% respectively) this could be partly due to the more rapid spreading of infections. Moreover, low temperatures may reduce natural response mechanisms of the upper respiratory tract and suppress immune responses to infections. Cold weather may also exacerbate chronic respiratory disease such as asthma and bronchitis Cold exposure may also trigger cardiac and cerebrovascular disease in susceptible individuals through inflammatory and coagulation responses th week of 2012 (30jan\u20135feb 2012) coinciding with the beginning of the cold spell episode A limit of the study is that the baseline was constructed only with 4 years of data, thus probably making it unstable, however we had no alternative as data availability was restricted to this period. On the other hand, total mortality excess estimates might be overestimated as we did not adjust for influenza epidemics. It has been suggested that seasonal trends and peaks in cardiac deaths are influenced by influenza epidemics Seasonal dynamics and patterns in mortality are to some extent dependent on previous season mortality trends The impact of the February 2012 cold spell on mortality in the Italian cities suggest that cold-related mortality is still a major problem and has several public health implications. In regions where extreme cold episodes are rare events and populations are unprepared to cope with these extreme conditions prevention plans should be implemented ensuring the collaboration and cohesive management between institutions and optimizing the often limited economic resources. Similarly to heat prevention programs, a cold prevention plan should comprise city-specific warning systems, near-real time surveillance systems and local prevention measures targeted to susceptible subgroups. It is clear that timeliness in terms of interventions and preparedness is crucial; especially for health services that have to be prepared to cope with an increase in the number of patients suffering from exposure to the cold, hypothermia and accidents, as well as respiratory infections and cardiovascular diseases. Information from surveillance systems, like those considered in our study for both mortality and ER visits, may be useful in public health decision-making, improving health service response and evaluating prevention measures. The identification of susceptible subgroups vulnerable to extreme cold is important in terms of public health planning and effective prevention Climate change scenarios predict a long-term trend of warming, as well as an increase in extreme events both in terms of temperatures and precipitation across Europe and in particular for the Mediterranean Basin"}
+{"text": "PIPA is designed to determine the feasibility of a prospective, multi-centre cohort study to assess the clinical and cost-effectiveness of cardiac magnetic resonance imaging (CMR) in patients who activate the primary percutaneous coronary intervention (PPCI) pathway. A key PIPA objective is to define a primary composite outcome that represents a clinically important change in management (proxy outcome for reduction in the future risk of a major adverse cardiovascular event (MACE)) as a result of an eligible patient having had CMR. A formal consensus method based on the modified nominal group technique is beingFormal consensus is being developed in three phases: (1) Systematic review to identify relevant literature; (2) Formulation of statements about how CMR changes patient management; (3) Consensus process, in which an interdisciplinary panel of stakeholders will complete an online survey , attend a face-to-face consensus meeting to discuss variation in anonymised survey responses, then re-rate the survey statements.Sixteen statements will be rated by twelve panellists . Final survey results will be presented as medians, interquartile ranges (IQR), counts and percentages. Statements with median scores of 7\u20139 and IQR of <3 will be considered to be in consensus and used to define the primary outcome.The primary composite outcome will be used to evaluate the effectiveness and cost-effectiveness of CMR to change clinical management in ways expected to prevent future MACE in this population."}
+{"text": "Biological systems fundamentally exist out of equilibrium in order to preserve organized structures and processes. Many changing cellular conditions can be represented as transitions between nonequilibrium steady states, and organisms have an interest in optimizing such transitions. Using the Hatano-Sasa Y-value, we extend a recently developed geometrical framework for determining optimal protocols so that it can be applied to systems driven from nonequilibrium steady states. We calculate and numerically verify optimal protocols for a colloidal particle dragged through solution by a translating optical trap with two controllable parameters. We offer experimental predictions, specifically that optimal protocols are significantly less costly than naive ones. Optimal protocols similar to these may ultimately point to design principles for biological energy transduction systems and guide the design of artificial molecular machines. Given the entropic driving force embodied in the second law of thermodynamics, creating and maintaining such organization requires staying far from equilibrium Much recent attention has focused on predicting optimal protocols to drive systems between equilibrium states with minimal expended work In this article, we take a first step towards this goal by optimizing the Hatano-Sasa Y-value, a quantity similar to dissipated work, for the paradigmatic model system tested in We consider a particle with spatial coordinate for Gaussian white noise As defined in arises in NESS transitions when the control parameters In some simple cases this corresponds to the system \u2018lagging\u2019 behind the changing control parameters. For transitions between equilibrium states this measure reduces to the standard dissipation governed by the Clausius inequality The ensemble average of the Y-value isDuring the driving process, the system's probability distribution over microstates fundamentally depends on the history of the control parameters Applying linear response theory in terms of the control parameter velocities The angle brackets In general, the detailed balance condition is violated in NESS and so the matrix The steady-state distribution is given by Though one can write down the geodesic equations for the metric [Eq. (6)] in the With the coordinate transformation In this coordinate system, geodesics are straight lines of constant speed. By the covariance of the geodesic equation, the optimal protocols are given byIn the absence of any particular information about the system's dynamical properties, a naive control strategy would change the control parameters at a constant rate, producing a straight line in control parameter space. The inverse diffusion tensor approximation [Eq. (4)] provides a recipe for choosing both a potentially nonlinear path through control parameter space, as well as a time-course along that path. The inverse diffusion tensor formalism can alternatively be used to optimize the time-course along a straight-line control parameter path. Such a protocol provides a benchmark against which an optimal protocol [Eq. (8)] can be compared. For the model considered here, we will find that an optimal straight-line protocol can be substantially better than the most naive (constant-speed) straight-line protocol. Furthermore, straight-line protocols are relatively straightforward to test experimentally.exactly optimal and agrees with the predictions of the linear response approximation [Eq. (4)]. In Ref. When As in the case of finding globally optimal protocols, the problem of finding optimal straight line protocols simplifies dramatically in forThe Euler-Lagrange equation implieswhich determines an implicit expression for The relation We validate the optimality of the geodesics [Eq. (8)] and compare with optimal straight-line protocols by calculating the average Y-value directly by integrating in time the Fokker-Planck equation describing the dynamical evolution of the particle probability distribution In full generality, the mean Y-value as a functional of the protocol Here angled brackets denote averages over the nonequilibrium probability density By integrating Eq. (13) against supplemented by initial conditionsNote that for a more complex system the first and second moments We solve these equations numerically and compare the performance of optimal straight lines against geodesics [Eq. (8)] and naive (constant-speed) straight-line protocols in If we neglect terms involving second- and higher-order temporal derivatives , we obtain an approximate solution to the Fokker-Planck system:Substituting this into the expression for the mean Y-value [Eq. (14)], we recover Eq. (28). The argument above suggests that the emergence of the inverse diffusion tensor from the Fokker-Planck equation may follow from a perturbation expansion in small parameters in vivo biological systems.We have taken the first step towards extending the geometric framework for calculating optimal protocols presented in Using a linear response approximation, we found the optimal mean Y-value for a model system of a colloidal particle dragged through solution and subject to a time-dependent harmonic potential. We took as our control parameters the velocity and spring constant of the harmonic potential. As in Our predictions may be tested experimentally with existing hardware and methods. In Ref. Using the inverse diffusion tensor approximation in general allows us access to the full power of Riemannian geometry in calculating optimal protocols. However, such experimental tests can assess the range of validity of the approximation. Our alternate derivation of the inverse diffusion tensor via a \u201cderivative-truncation\u201d expansion et al. Moreover, we demonstrate that for simultaneous adjustment of In this paper we provide concrete theoretical predictions for experiments \u2013 specifically, we find that geodesics, optimal straight-lines, and naive straight-line protocols all are substantially more efficient than the protocols tested in Trepagnier, Given the greater generality embodied by the extension to NESS, and the accuracy of this approximation for a standard model system, optimal driving protocols derived in this framework promise greater applicability to models of biomolecular machines. Nevertheless, important hurdles remain: our model system experiences forces linear in position and has a steady-state distribution differing from the equilibrium one only in its average displacement. Molecular machines feature nonlinear force profiles, potentially nontrivial steady-state distributions, and often operate far from equilibrium. Thus our comparatively simple theoretical framework may need further elaboration to address the dynamics and efficiency of molecular machines with reasonable fidelity.Furthermore, the relatively simple model system we treat in this manuscript represents a new frontier for the analytical solution of optimal protocols under the inverse diffusion tensor approximation. For significantly more complicated models of greater biological interest, a simple general approach would be a fully numerical method, involving the calculation of the inverse diffusion tensor at a grid of points in control parameter space, analogous to the approach in Finally, there remains the important open question of what quantity or quantities are to be optimized in faithful models of biological processes. In this paper, we made the choice of optimizing the Y-value which has been experimentally studied in this particular model system However, it is possible and perhaps likely that a properly defined average dissipated heat will be the biologically relevant quantity to optimize rather than the Y-value. We anticipate that a geometric approach to optimization will be applicable to these more general systems and notions of heat production in a relevant regime of parameter values and protocol durations. However, a more general construction will have to take into account the so-called housekeeping heat Our model consists of a particle with spatial coordinate for Gaussian white noise As defined in The ensemble average of the Y-value isApplying linear response theory in terms of the control parameter velocities The angle brackets The steady-state distribution is given by In order to calculate the time correlation functions in Eq. (23), we solve Eq. (18) for constant Recalling that Integrating over time yields the inverse diffusion tensor:The line element corresponding to the metric in Eq. (27) isTo find the explicit coordinate transformation making the Euclidean geometry manifest, we write the line element asThis suggests the coordinate transformation In this coordinate system, geodesics are straight lines of constant speed. To find optimal protocols in We validate the optimality of the geodesics [Eq. (31)] numerically via the Fokker-Planck equation In full generality, the mean Y-value as a functional of the protocol By integrating Eq. (32) against supplemented by initial conditions"}
+{"text": "Ion transport and epithelial barrier function were monitored by measuring short-circuit current (Isc) and trans-epithelial electrical resistance (TEER). Stimulation with linaclotide (1 \u00b5M) elicited a robust short-circuit current across mouse colonic epithelium. Isc reached a maximum within ten minutes following stimulation with linaclotide and remained steady during the duration of the study (60 min). Treatment of colonic mucosa with linaclotide induced release of cGMP from the apical, as well as, the basolateral side of the epithelium. The time course of cGMP accumulation in the basolateral bath of the Ussing chamber was linear with an estimated cGMP secretion rate equal to 23 fmol/min\u00d7cm2. The trans-epithelial electrical resistance of the colonic mucosa remained high over the course of the study indicating that the barrier to diffusion of cGMP between apical and basolateral sides remained intact throughout the study.. In summary, these data demonstrate that linaclotide-stimulated mouse colonic epithelium secretes cGMP from both the apical and basolateral sides and that cGMP is available in the submucosal interstitial space to inhibit colonic nociceptors.Linaclotide is a novel receptor guanylyl cyclase C (GC-C) agonist approved for treatment of abdominal pain and constipation in patients with irritable bowel syndrome with constipation (IBS-C). Linaclotide effects on bowel movements are mediated by the intracellular cGMP that is produced upon activation of GC-C. It is hypothesized that the effects of linaclotide on abdominal pain are mediated by extracellular cGMP, which was shown to decrease the activity of pain-sensing nerves . Here we"}
+{"text": "We also investigated the effects of various missense mutations in presenilin-1 associated with either FAD or frontotemporal dementia using both culture systems and knockin mice, and discovered their distinct molecular mechanisms. While FAD mutations cause partial to complete loss of \u03b3-secretase activity in cis, mutant proteins further interfere the function of wild-type proteins in trans. The implications of our in vivo studies to disease mechanisms will be discussed.Presenilins are the major genes responsible for familial Alzheimer\u2019s disease (FAD). To elucidate the pathogenic mechanisms underlying FAD mutations, we employ advanced genetic approaches to investigate the normal function of presenilin in the brain and the dysfunction caused by disease causing mutations. Through development and multidisciplinary analysis of a number of cell type specific conditional mutant mice, we defined essential roles of presenilins in processes that are highly relevant to AD pathogenesis, such as memory, synaptic function and age-related neuronal survival. Our detailed analysis further elucidated the mechanisms by which presenilins regulate these processes, and whether presenilins regulate these processes"}
+{"text": "One oFor neuraminidase and cyclin-dependent kinase II (CDK2), snapshots of MD simulation trajectories have been clustered based on different structural properties using a variety of clustering methods. To establish a possible correlation between docking performance and target conformational attributes the clustered snapshots have been subjected to extensive self- and cross-docking experiments as well as virtual screening using the GOLD docking programme. It is shown that conformationally similar snapshots do not necessarily result in a similar docking or virtual screening performance. The selection of the particular structural property on which to base the clustering appears to be the essential problem."}
+{"text": "Manihot esculenta) and neurolathyrism are two distinct non-infectious upper motor neurone diseases with identical clinical symptoms of spastic paraparesis of the legs. They affect many thousands of people among the poor in the remote rural areas in the central and southern parts of Africa afflicting them with konzo in Ethiopia and in the Indian sub-continent with neurolathyrism. Both diseases are toxico-nutritional problems due to monotonous consumption of starchy cassava roots or protein-rich grass pea seeds as a staple, especially during drought and famine periods. Both foods contain toxic metabolites (cyanogenic glycosides in cassava and the neuro-excitatory amino acid \u03b2-ODAP in grass pea) that are blamed for theses diseases. The etiology is also linked to the deficiency in the essential sulfur amino acids that protect against oxidative stress. The two diseases are not considered reportable by the World Health Organization (WHO) and only estimated numbers can be found. This paper analyzes research performance and determines scientific interest in konzo and neurolathyrism. A literature search of over 21 years (from 1990 to 2010) shows that in terms of scientific publications there is little interest in these neglected motorneurone diseases konzo and neurolathyrism that paralyze the legs. Comparison is made with HTLV-1/TSP, an infectious disease occurring mainly in Latin America of which the clinical manifestation is similar to konzo and neurolathyrism and requires a differential diagnosis. Our findings emphasize the multidisciplinary nature of studies on these neglected diseases, which however have not really captured the attention of decision makers and project planners, especially when compared with the infectious HTLV-1/TSP. Konzo and neurolathyrism can be prevented by a balanced diet.Konzo in the case of konzo, or the seeds of grass pea (Lathyrus sativus) in the case of neurolathyrism. These neurodegenerations are blamed on the presence of cyanogenic glycosides in cassava and a neuro-excitatory amino acid in grass pea. Both are linked to the deficiency of methionine and cysteine in the diet. These amino acids are needed for the protection of motor neurons against oxidative stress. Both cassava and grass pea are tolerant to adverse environments and become survival foods for the poor during drought-triggered famines and during wartime. The dependency on these crops may increase with global warming. The scientific interest in these neglected diseases is low and little change has been noted over the last two decades. This is especially obvious when compared with the scientific interest in HTLV-1/TSP, a viral disease with similar clinical symptoms which occurs mainly among poor people in Latin America in similar socio-economic settings.The irreversible crippling diseases konzo and neurolathyrism with identical clinical symptoms occur among poor subsistence farmers in Africa and Asia. The victims are mostly illiterate and among the poorest section of the population who can only afford the cheapest food in a monotonous diet: bitter cassava roots ( Manihot esculenta) and grass pea (Lathyrus sativus) are drought tolerant crops that can be survival food after a drought (the underground cassava-roots can even survive fire) Konzo and neurolathyrism are toxico-nutritional neurodegenerations that afflict many thousands of people among poor populations in low income countries, especially in Sub Saharan Africa and in the Indian Sub-continent, respectively. In both cases, the victims are mainly illiterate subsistence farmers living in remote rural areas. Those diseases are associated with high dietary exposure from improperly processed cassava roots in the case of konzo or grass pea seeds in the case of neurolathyrism. Both cassava for all articles with the following key words: konzo, neurolathyrism, HTLV-1 associated myelopathy/Tropical spastic paraparesis in topic and in title with the current limits on timespan (from 1990 to 2010). The term \u2018lathyrism\u2019 covers both neurolathyrism and osteolathyrism. Osteolathyrism or experimental lathyrism is caused by the bone-deforming \u03b2-aminopropionitrile (BAPN) present in Lathyrus odoratushttp://www.ncbi.nlm.nih.gov/sites/entrez?otool=ibeuglib) but some overlap was noted on the categorization of the document types and the database has a medical orientation rather than multidisciplinary as in the Web of Science. The website http://Scholar.Google.com was not included because of a great number of subjects which comprise even unpublished or non-quoted publications. Articles listed in Web of Science are classified as A1 papers and used for evaluation purposes in many scientific institutes and universities.We searched the Web of Science database and neurolathyrism while publications on HTLV-1/TSP increased significantly . A significant increase (P<0.05) was observed in the citations of publications on the three diseases were categorized as articles, about 6% for konzo and neurolathyrism and 8% for HTLV-1/TSP as reviews, 4.8% for konzo and HTLV-1/TSP and 9.1% for neurolathyrism as proceedings paper, 1.2% for konzo, 6.1% for neurolathyrism and 4.2% for HTLV-1/TSP as meeting abstract and 2% or less as letter or as note or as editorial material .Lathyrus sativus and \u03b2-ODAP for neurolathyrism publications. Motor neurone disease is the only term used for these two clinically similar diseases among the top ten keywords often considered to be due to witchcraft. They are neglected and tend even to be ignored by the authorities in these countries, perhaps because they are somehow considered as damaging the reputation of the country in which they occur. HTLV-1/TSP is intrinsically more interesting to medical researchers because it is an infectious disease that has the risk of spreading, whereas neurolathyrism and konzo are non-infectious diseases that are confined to poor and mostly illiterate subsistence farmers and hence not appealing to work on. HTLV-1 TSP has a higher percentage of reviews and notes than konzo and neurolmathyrism as shown in This also reflects the low level of interest by political authorities as well as by institutes sponsoring research in these neglected diseases konzo and neurolathyrism which are known to be non-infectious diseases affecting only poor populations in remote rural areas. These diseases do not really capture the attention of decision makers and project planners to make efforts to control these diseases while there is a growing interest and concern in the infectious HTLV-1/TSP.During the same period there is an increase of the number of citations to published items on the three diseases, potentially indicating that those diseases are becoming important in terms of comparison with neurodegenerative diseases affecting more affluent populations. It may be interesting to note that, not unlike the popular media, the dramatic reports get more attention: the report on a new epidemic in Ethiopia, affecting 2000 patients There are fewer meetings at international level on those three diseases, which may explain why there is less than 10% of meeting abstracts or proceedings papers. Sponsors may not be well informed or do not see the opportunities to finance projects on konzo and neurolathyrism although our findings emphasize the multidisciplinary nature of studies on these diseases.Manihot esculenta during the same period (5035) is almost 6 times greater than those dealing with grass pea or Lathyrus sativus (859) . This raThe root of bitter cassava is the staple food in konzo-affected areas and is one of the highest yielding starch crops in tropical regions and increasingly becoming an industrial product. For human consumption, a lengthy post harvest processing is necessary to remove the toxic cyanogenic metabolites. For this a stable peaceful environment is required. This processing however does not change the deficiency of the sulfur amino acids methionine and cysteine in the cassava roots. While one meal of unprocessed bitter cassava roots can be lethal and indeed sometimes suicidal, prolonged consumption of insufficiently processed roots as a staple food without variation can give rise to konzo. Konzo can be prevented by better processing of bitter cassava roots and by balancing the diet with cereals and other foodstuffs rich in sulfur amino acids such as fish that is out of reach of the very poor and during social instability. For poor subsistence farmers, cassava can be a survival food during drought and also during military conflicts. Banea et al Panax ginseng) Lathyrus sativus, that during the era of the Egyptian pharaoh's was a royal funeral offering. Konzo and neurolathyrism are neglected diseases that occur among poor, often illiterate subsistence farmers. Such socio-economic groups are often neglected by the authorities and these medical problems ignored. Konzo and neurolathyrism can be considered the emanation of an unjust and egoistic world.Grass pea is the most drought tolerant legume producing the cheapest protein, but containing a neuro-excitatory amino acid \u03b2-ODAP and can give rise to excito-toxicity under certain conditions of prolonged overconsumption, malnutrition and oxidative stress. This same neuro-excitatory amino acid \u03b2-ODAP is also identified in seeds and roots of Ginseng (One of the risk factors in the epidemiology of konzo and neurolathyrism is the availability of cassava roots or grass pea as the cheapest food and its use as staple in the diet with little or no additional nutrients. Both crops are tolerant to adverse environment and serve as survival foods during droughts and famine and this dependency may increase with further global warming"}
+{"text": "A 34-year-old healthy man presents requesting abdominal liposuction for excess abdominal fat. The patient had a strong preference for minimally invasive techniques. Therefore, High-intensity focused ultrasound (HIFU) therapy was performed.What is HIFU and how does it work?What is HIFU currently used for?What are some of the recognized shortcomings and complications of HIFU?What is the future of HIFU?High-intensity focused ultrasound is the result of the evolution of ultrasound from a simple diagnostic procedure to a therapeutic modality with broader potential. Ultrasound has long been an intriguing medical modality because of its noninvasive nature, low cost, and relatively low rate of complications.2 and have at least 1 cm of adipose tissue beyond the treatment area.7,8,11High-intensity focused ultrasound is most widely recognized in the treatment of benign and malignant solid tumors.,12Traditional shortcomings of HIFU include those of diagnostic ultrasound, most importantly that sound waves cannot pass through solid structures and are impeded by air, limiting its use in hollow organs such as the lungs.6High-intensity focused ultrasound has only recently made its debut in the plastic surgery community, with preliminary studies being promising and exciting. It has been shown to be safe at much higher doses and duration than are typically necessary in the outpatient setting"}
+{"text": "Vascuologenesis is the de novo establishment of blood vessels and vascular networks from mesoderm-derived endothelial cell precursors (angioblasts). Recently a novel mechanism, by which some genetically deregulated and aggressive tumour cells generate \"micro-vascular\" channels without the participation of endothelial cells and independent of angiogenesis, has been proposed. This has been termed \"vasculogenic mimicry\" and has implications beyond angiogenesis and adds another layer of complexity to the current concept for the generation of tumour micro-circulation. We suggest this is common phenomenon in head and neck squamous cell carcinoma (HNSCC) cell lines and other aggressive tumour cell lines. We present experimental evidence of vasculogenic mimicry in HNSCC cell lines and compare them with other tumours and a positive control vascular cell line.The cell lines used were HUVEC, HN 2a, 2b (primary and metastatic tongue base squamous carcinoma cell line), HCT116 (colonic carcinoma cell line) and DU145 (prostate carcinoma cell line).Pilot experiments were undertaken to assess growth of a bank of tumour cell lines on (growth factor reduced) matrigel (Sigma) with standard media .A functional growth assay was performed by preparing the appropriate cell suspension in serum free medium plated onto either bare plastic or a well pre-coated with growth factor reduced type 4 collagen analogues.Phase contrast photomicrographs were taken at 4 hours and 24 hours. Image analysis was performed; particular features of interest were two dimensional area (surrogate of growth and migration), branch points and end point measurements (surrogate of intercellular complexity).There were observable differences in growth of the cells on laboratory plastic and collagen matrix. Tumour cells formed capillary like networks similar to HUVEC cells. Metastatic HNSCC cells lines were found to have vasculogenic properties similar to HUVEC cell lines when compared to cell lines from their corresponding primary tumour. The endothelial growth factor antibodies used did not inhibit or stimulate cell growth when compared to control but did discourage vascular mimicry. Other tumour cell lines also displayed this property.Tumour \"vasculogenic mimicry\" must still be regarded as a controversial issue whose existence is not proven. The clinical importance of this phenomenon however, is that it does explain the lack of complete efficacy of current anti-angiogenic treatments due to the added layer of complexity. It provides a feasible mechanism of early tumour vascular supply which can co-exist and incorporate with later angiogenic mechanisms. We suggest that \"vasculogenic mimicry\" maybe a common neoplastic phenomena which appears to also be dictated by the cells micro-environment. Its existence also suggests a further process that of the development of tumour mosaic vessels as the neo-vasculature integrates with the existing endothelial lined systems. Much attention has been focussed on the role of angiogenesis, i.e. the recruitment or co-option of new vessels into a tumour from pre-existing vessels such as capillaries and post-capillary venules. Currently, angiogensis is widely accepted as the mechanism by which tumours metastasize, however angiogenesis may not be the only mechanism by which tumours acquire a microcirculation. Maniotis et al. reported a novel mechanism by which some aggressive tumours acquire a blood supply and demonstrated the generation of micro-vascular channels by genetically deregulated and aggressive tumour cells without the participation of endothelial cells and independent of angiogenesis. This has been termed \"vasculogenic mimicry\" and has implications beyond angiogenesis and adds another layer of complexity to the current theoretical framework for the generation of tumour micro-circulation at a seeding density of 2*10There were observable differences in growth of the cells on laboratory plastic and collagen matrix (P < 0.001), Figure . Tumour Metastatic cell lines (HN2B) were found to have vasculogenic properties similar to HUVEC cell lines when compared to cell lines from their corresponding primary tumour (HN2A). The clinical impact of this phenomenon will also be a function of tumour cell size enabling optimal stromal interaction as evinced by the growth of other tumour cell lines.The anti-endothelial antibody was not cytotoxic to any of the cell lines investigated. The antibody, however, did discourage vascular mimicry significantly P < 0.001). It may be hypothesized that the visible networks may not be tubes and not represent vascular channels but electron microscopy work suggests that they do [. It may Tumour \"vasculogenic mimicry\" Figure must stiThe process of angiogenesis consists of multiple, sequential and independent steps with a vista of positive and negative regulators of angiogenesis being involved . HoweverThere is a consensus that the microcirculation of aggressive tumours is complex, and depending on the time of observation, could consist of mosaic vessels , co-opted vessels and/or angiogenic vessels. There is also strong evidence for the existence of an intratumoral, tumour-cell-lined, ECM-rich, patterned network that can provide an extravascular fluid pathway, now known as the fluid-conducting meshwork. The entire microcirculation in aggressive tumours is suggested to be made up of a combination of these elements, and it is the result of destructive tumour growth and remodelling. Alternatively, the PAS- and laminin-rich, fluid-conducting meshwork could be an early survival mechanism for nutrient exchange and the release of fluid pressure. This meshwork could eventually be replaced by endothelial cells from nearby angiogenic vessels or from the bone marrow. The fluid-conducting meshwork might provide a site for nutritional exchange for aggressive tumours, and might therefore prevent necrosis of the tumour. Alternatively, it might be analogous to an oedematous inflammatory response, in which increased blood pressure leads to the escape of fluid along connective tissue pathways in intra-tissue spaces. The complex geometry of the laminin-containing ECM covering that encases the spheroidal clusters of tumour cells could also form a suppressive shield against immune surveillance.Endothelial cells can generate tractional forces, appropriate matrices, cord-like tessellated structures because of a limited degree of cell-ECM attachment and a high degree of cell-cell attachment . The invEndothelial cell shape requirements in the context of growth and limited cell detachment typical of endothelial cell differentiation may be mediated by the mechanical properties of a continuous cytomatix, between the endothelial cell adhesion receptors and its nucleus and could determine the response of the cell to its changing architectural environment via a hard wired signalling mechanism. The extended ECM/cyto-matrix/nuclear matrix as a unit of structure/function is evidenced by comparable tubular structures formed in culture by highly invasive, interconnected primary and metastatic melanoma. These have similarities to cords or tessellations generated by a variety of other cell types including mammary epithelial cells on the appropriate substrate. It is assumed that more invasive cells generate cords similar to endothelium within the first few hours of culturing; patterned tubes completely acellular resemble the dimensions and patterning of networks in tumours ,8. HenceThe patterns of microcirculatory vessels have been shown to have a prognostic significance in melanomas with those with the presence of loops and networks doing worse ,9,10. HoIn criticism of our current study, the networks formed by the cultured cells do resemble microvascular channels but, fall short of being the compelling evidence of vascular mimicry published by Maniotis et al. in theirclinical implications are, however, that there is still too little knowledge of how the many events are coordinated and integrated by the cancer cell, with conspiratorial help by the stromal component of the host. Before drug development can proceed with a legitimate chance of success, significant gaps in basic knowledge need to be filled. A tumour circulation not lined by endothelial cells would play an important physiological role in the maintenance and growth of aggressive tumours. This is observed in breast epithelial tumour cells which form disorganised masses which undergo phenotypic reversion to form acini resembling normal tissue. This reversion occurs simply by manipulating their surface receptors in a 3D assay. This continuous tumour extracellular matrix interaction and traction could contribute to tumour remodelling, its metastatic potential and vasculo-genetically patterned tumour derived abnormal vessels. The tubular structures formed in culture by highly invasive, interconnected primary and metastatic melanoma has similarities to cords or tessellation generated by a variety of other tumour cells on the appropriate substrate. Such vasculogenic triggers and their receptors could be the next target for refined pharmacological interventions in the treatment of metastasis, as important if not more than the recently trialled anti-angiogenic drugs. The important difference may be that they could be more specific and avoid the bystander cross receptor cardiac problems attendant with anti-angiogenic therapy.The The authors declare that they have no competing interests.All authors have contributed intellectually and to the writing of this manuscript. All authors read and approved the final manuscript."}
+{"text": "Lorenz von Seidlein discusses the study by Katherine Halliday and colleagues and explores the reasons why a school-based screening and treatment strategy for malaria might have failed.Please see later in the article for the Editors' Summary PLOS Medicine:This Perspective discusses the following new study published in doi:10.1371/journal.pmed.1001594Halliday KE, Okello G, Turner EL, Njagi K, Mcharo C, et al. (2014) Impact of Intermittent Screening and Treatment for Malaria among School Children in Kenya: A Cluster Randomised Trial. PLoS Med 11(1): e1001594. Katherine Halliday and colleagues conducted a cluster randomized controlled trial in Kenyan school children in an area of low to moderate malaria transmission to investigate the effect of intermittent screening and treatment of malaria on health and education.Falciparum malaria incidence is declining in many countries including in the formerly hyperendemic regions of sub-Saharan Africa PLOS Medicine, Halliday and colleagues describe a trial to evaluate intermittent screening and treatment in schools In this issue of The results cannot be attributed to methodological uncertainty, a frequent cause of negative study outcomes, since the trial was conducted in a large sample of schools according to the highest procedural standards. There was excellent follow-up of and adherence by study participants. Most likely, children found to be parasitaemic did benefit from early treatment but this outcome was not measured, as the investigators were interested in school-based rather than individual-based effects. Why did these individual effects not translate to school-wide outcomes? First investigators didn't treat all infections, rather only those of a sufficiently high density detectable by RDTs. Any child with a parasitaemia with a density below the RDT's detection threshold on that day remained untreated. The dimensions of this reservoir of infections with densities below the RDT's detection threshold are incompletely understood and are currently under investigation using new molecular tools. RDTs may require a parasite density of 100,000 parasites/ml Would the strategy have worked had the investigator screened and treated whole villages instead of school classes? Investigators in Burkina Faso have recently addressed precisely this question in a cluster randomised trial The evaluation of malaria elimination strategies requires considerable resources. Trials evaluating interventions to interrupt malaria transmission require populations living in a discrete geographic entity such as a village as unit of inference. To randomise villages in a statistically meaningful fashion involves tens of thousands of participants. Considering the time and resources required for such large undertakings, researchers use mathematical modelling to predict the outcome of interventions. Such models have been refined for more than a century and their popularity keeps growing despite the inherent complexity of vector borne diseases Plasmodium falciparum strains resistant to artemisinins are spreading through Southeast Asia It is easy to criticise retrospectively the failure of well-intended interventions and infinitely harder to predict success. But some of the more successful interventions could guide investigators and policymakers towards more promising strategies especially during an emergency. Increasing the coverage of populations at risk with effective interventions should lead to the elimination and ultimately the eradication of falciparum malaria in the decades to come. That is if the pathogens and the vectors weren't constantly evolving. Mosquitoes resistant to the available insecticides are spreading through sub-Saharan Africa and Asia"}
+{"text": "The structural and functional integrity of the retinal pigment epithelium (RPE) is fundamental for maintaining the function of the neuroretina. These specialized cells form a polarized monolayer that acts as the retinal\u2013blood barrier, separating two distinct environments with highly specialized functions: photoreceptors of the neuroretina at the apical side and Bruch's membrane/highly vascularized choriocapillaris at the basal side. The polarized nature of the RPE is essential for the health of these two regions, not only in nutrient and waste transport but also in the synthesis and directional secretion of proteins required in maintaining retinal homoeostasis and function. Although multiple malfunctions within the RPE cells have been associated with development of age-related macular degeneration (AMD), the leading cause of legal blindness, clear causative processes have not yet been conclusively characterized at the molecular and cellular level. This article focuses on the involvement of directionally secreted RPE proteins in normal functioning of the retina and on the potential association of incorrect RPE protein secretion with development of AMD. Understanding the importance of RPE polarity and the correct secretion of essential structural and regulatory components emerge as critical factors for the development of novel therapeutic strategies targeting AMD. IntroductionRPE polarityApical secretion from the RPE\u2013 Matrix Metalloproteinase 2 (MMP-2) and Tissue Inhibitor of Matrix Metalloproteinase 1 (TIMP-1)\u2013 Hyaluronan\u2013 \u03b1B Crystallin\u2013 Pigment Epithelium-Derived Factor (PEDF)Basolateral secretion from the RPE\u2013 Fibroblast Growth Factor 5 (FGF-5)\u2013 Endothelin I\u2013 Vascular Endothelial Growth Factor (VEGF)\u2013 Cystatin CMechanisms of protein secretion/polarized secretion\u2013 Basolateral sorting signals\u2013 Apical sorting signals\u2013 Consequences of impaired RPE protein secretionConcluding remarksThe RPE consists of a monolayer of cells that form the retinal\u2013blood barrier (RBB). On either side of this cellular monolayer lie two contrasting environments that are critical for the correct functioning of the neuroretina. Immediately on the apical side of the RPE is a thin matrix known as the interphotoreceptor matrix (IPM) One of the main functions of the RPE is in the delivery of nutrients from the choroid to the photoreceptor cells, whilst transporting metabolic end products, ions and excess water in the opposite direction via protein secretion is the focus of this article, with specific emphasis on the importance of directional, targeted secretion of trophic/growth factors and structural/structure-related proteins.Maintenance of the structure and function of the microenvironments on either side of the RPE The RPE displays many similarities to other epithelial layers, including a hexagonal \u2018cobblestone\u2019 appearance, organization as a single monolayer, tight junctions between cells and a highly polarized nature. Morphologically, RPE cells display polarity with apical microvilli, pigment granules and well-developed tight junctions located on the apical side of the cell, as well as basally located nuclei and membrane infolding Proteins expressed by RPE cells can also be localized to either apical or basal plasma membrane (PM) , such asin vitro increases the overall levels of growth factor secretion The polarized organization of the RPE is crucial for its interaction with both its apical and basal side, as well as in the directionality of its protein secretion. It has been demonstrated that attainment of polarity Retinal pigment epithelium cells secrete a host of growth factors and structural/structure-related proteins Some examples of directional protein secretion from the RPE are discussed below. The function/dysfunction of the majority of proteins presented herein have direct links to AMD pathogenesis. For those that have not, to date, been directly linked with AMD, we hypothesize how their incorrect localization/function may lead to retinal degeneration based on their involvement in fundamental biological processes and on similarities of their mechanism of action with that of known molecular determinants of the disease.Matrix metalloproteinase and TIMPs are apically secreted by the RPE Matrix metalloproteinase and TIMPs (including MMP-2 and TIMP-1) are also present basally to the RPE, in the Bruch's membrane Hyaluronan is a widely distributed glycosaminoglycan, and is a major component of the ECM. It is secreted from the apical side of the RPE \u03b1B crystallin is a molecular chaperone induced by stress stimuli. By suppressing protein aggregation and inhibiting the proteolytic activity of caspase 3, it is able to play a role in cytoprotection The PEDF is highly expressed in the retina, where it serves as a neurotrophic factor Fibroblast growth factor 5 is known to play a role in a range of processes including angiogenesis via effects on proliferation and cell migration Endothelin I is a protein expressed in the retina and choroid Vascular endothelial growth factor is a pro-angiogenic growth factor that is secreted preferentially from the basal surface of the RPE Cystatin C is a reversible inhibitor of cysteine proteinases including papain and cathepsins B, H, L and S via the relatively well-characterized \u2018classical\u2019 secretion pathway. These proteins contain N-terminally located signal peptides, directing them co-translationally to the translocation apparatus of the ER via other, \u2018non-classical\u2019 mechanisms. These proteins typically lack a signal peptide, and are excluded from organelles that are essential during \u2018classical\u2019 secretion, such as the ER and Golgi. These mechanisms of secretion are reviewed in detail elsewhere via exosomes.A large number of soluble proteins are secreted from the PM via similar mechanisms. Thus, the basolateral versus apical sorting mechanisms in the secretory pathway is believed to rely on complex membrane trafficking pathways which also underpin the distinct specialization of the apical and basolateral PM domains. Targeting of proteins to a particular cell surface takes place at the level of the trans-Golgi network (TGN), following incorporation of apical and basolateral proteins into distinct vesicles In polarized cells, secretion requires an extra level of complexity and control to ensure certain proteins are targeted to, and released from the appropriate cell surface. Mechanisms required for such control have been studied extensively within the \u2018classical\u2019 secretion pathway, and have been reviewed in detail elsewhere via such endosomal pathways has been highlighted Basolateral sorting signals typically consist of tyrosine-based or di-leucine-based peptide sequences, found in the disposed, cytoplasmic portion of transmembrane proteins Transforming growth factor-\u03b1 (TGF\u03b1) provides one of the relatively few examples of a typical basolateral signal in a secreted protein. Its precursor form (pro-TGF\u03b1) contains a dominant basolateral sorting signal within the cytoplasmic region that is subsequently cleaved to produce the soluble, mature form Apical sorting signals are much more diverse than basolateral signals and consist of post-translational modifications, rather than distinct peptide sequences. Perhaps the most extensively studied of these are N- and O-linked glycans, which are present on particular proteins. Two models have been proposed to explain how these glycans are involved in apical sorting via distinct subsets of endosomal compartments before reaching their final destination via transcytosis The route that apical proteins take to the PM seems as equally diverse as the signals that direct them. Many transmembrane proteins destined for the apical PM are transported from the TGN in different vesicles, and are then processed via a GPI anchor in its transmembrane domain. Subsequent cleavage then results in secretion of the soluble form Mechanisms for targeting secreted proteins for apical PM release are similar to those for transmembrane proteins. Glycans can promote such targeting, as is the case during apical sorting of rat growth hormone It is becoming increasingly apparent that directional protein secretion is a highly regulated and complex process, and that malfunctions occurring at any step in these pathways could lead either to increased/decreased levels of essential growth factors and structural proteins in the extracellular space or to their incorrect intracellular/extracellular localization. It is therefore possible that such malfunctions could serve as relatively overlooked mechanisms in the pathophysiology of the highly secretory RPE, with specific consequences for the development of retinal disorders such as AMD.Indeed, such alterations in protein secretion have been implicated in the development of other diseases. Such an example is the increase in growth factor secretion from cancer cells, leading to autocrine growth stimulation and metastasis Extracellular mislocalization of secreted proteins can occur as a result of changed cell polarity and alterations in directional secretion. Such alterations can also have implications in disease development. The presence of the Alzheimer's-linked, \u2018Swedish\u2019 double mutation in the amyloid precursor protein results in a proportion being mis-secreted from the apical, rather than basolateral PM via its proteolytic and ECM remodelling properties Some of the RPE-secreted proteins highlighted above have been shown to have altered secretion patterns during AMD development. MMP-2 is secreted at levels threefold higher in AMD RPE cells compared with healthy RPE One of the most abundantly expressed and secreted proteins of the RPE is the cysteine proteinase inhibitor cystatin C The tissues on either side of the RPE present two different microenvironments, each placing varying demands on the RPE in terms of protein requirements. High levels of particular growth factors and structural proteins that can be beneficial in one compartment can be detrimental in the other. Maintaining the correct concentrations of particular factors, in the correct location, at the correct time is therefore of critical importance for retinal health.This article highlights several examples of directional protein secretion by the RPE, all of which could play important roles in maintaining its surrounding extracellular environments. Malfunctions in trafficking/secretory pathways can lead to mis-localization of these proteins, which can ultimately manifest as a number of AMD symptoms.Therapies such as RPE transplants and gene therapy could offer improved treatments for AMD in the future. The importance of polarity and directional protein secretion in maintaining RPE/retinal functioning will be key considerations in the further development of such therapies."}
+{"text": "Cilia are small, hair-like structures occurring on the apical surface of most of vertebrate cells. Defects in cilia cause a range of developmental phenotypes grouped into conditions called ciliopathies. Our aim is to dissect the structure and function of cilia and signalling pathways mediated by this organelle. To evaluate this, we are performing a high-throughput siRNA screen using siRNA pools (from the Dharmacon mouse genome siRNA library) targeting over 19,000 separate transcripts and immunofluorescence staining of ciliated mIMCD3 (transformed mouse inner medullary collecting duct) cells to determine cilia number, length and morphology. Secondary datasets from the screen will include measurements of cell size and morphology, nuclear morphology and cell cycle profiles. We have successfully set up a facility for high-throughput high-content imaging, optimized a reverse transfection protocol and validated a series of positive and negative controls. We are currently completing the analysis of candidate hits and expect to obtain several hundred positive hits from the whole screen. We will present the first dataset from this screen with a discussion of prioritization strategies for the validation of the most relevant and interesting candidate hits."}
+{"text": "The characterization of miRNAs and their target mRNAs involved in regulation of the immune process is an area of intense research and relatively little is known governing these processes in allergic inflammation. Here we present novel findings defining the miRNA and mRNA transcriptome in eosinophilic esophagitis (EoE), an increasing recognized allergic disorder.Esophageal epithelial miRNA and mRNA from five paired biopsies pre- and post-treatment with glucocorticosteroids were profiled using Taqman and Affymetrix arrays. Validation was performed on additional paired biopsies, untreated EoE specimens and normal controls. Differentially regulated miRNAs and mRNAs were generated, within which miRNA-mRNA target pairs with high predicted confidence were identified.Compared to the post-glucocorticoid treated esophageal mucosa, of all the 377 miRNA sequences examined, 32 miRNAs were significantly upregulated and four downregulated in the pre-treated biopsies. MiR-214 was the most upregulated (150 fold) and miR-146b-5b, 146a, 145, 142-3p and 21 were upregulated by at least 10 fold. Out of 12 miRNAs chosen for validation by qRT-PCR, five were confirmed and 11 shared the same trend. When the expression of the 12 miRNAs in the EoE mucosa was compared to unrelated normal mucosa, six showed similar significant changes as in the paired samples and 10 of them shared the same trend. In the same five pairs of samples used to profile miRNA, 311 mRNAs were down-regulated and 35 were up-regulated in pre-treated EoE mucosa. Among them, 164 mRNAs were identified as potential targets of differentially regulated miRNAs. Further analysis revealed that immune-related genes, targeted and non-targeted by miRNAs, were among the most important genes involved in the pathogenesis of EoE.Our findings add to the accumulating body of data defining a regulatory role for miRNA in immune and allergic processes. Eosinophilic esophagitis (EoE) is an increasingly recognized antigen-driven disorder of the esophagus occurring in children and adults MicroRNAs (miRNAs) are small, non-coding 19\u201325 nucleotide long RNAs that constitute the most abundant class of regulators of gene expression The characterization of miRNAs and their target mRNAs involved in regulation of the immune process is an area of intense research This goal of this study was to characterize the miRNA profile of well documented EoE mucosal biopsies, before and after successful treatment with glucocorticosteroids, and to correlate this profile with dysregulated mRNA identified using the same cohort. These findings were further verified on an additional cohort of biopsies from patients with EoE as opposed to normal mucosa.Archival esophageal biopsies from seven pediatric patients before and after treatment for EoE were retrieved from the Department of Pathology at Rhode Island Hospital . The first five pairs were used for both miRNA and mRNA profiling and all seven were used for validation . Eight aPatient records were reviewed by a pediatric gastroenterologist (V.M.) to ensure that the clinical characteristics of the patients fit the diagnosis of EoE. The slides were reviewed by a pathologist (M.R.) to confirm the presence or absence of EoE. Classic features of EoE consist of numerous intraepithelial eosinophils greater than 15 per high powered field (HPF) (ranging from 35 to over 100 per HPF), superficial eosinophilic microabscesses, basal layer hyperplasia and subepithelial fibrosis. The posttreatment biopsy material consisted of normal appearing squamous mucosa with only rare intraepithelial eosinophils numbering less than 2 per HPF.A summary of the seven EoE patients\u2019 clinical information is presented in The study was performed according to a protocol approved by the institutional review board (IRB) of Lifespan/Rhode Island Hospital. The requirement of consent was specifically waived by the IRB committee.Eight 10 \u00b5m sections were cut from each block and mounted onto plain glass slides. If the biopsy section contained only epithelium, the sections were scraped from the slides and were ready for total RNA extraction. If biopsy sections contained sub-epithelium, the sections were deparaffinized, stained, dehydrated through graded alcohols using the Paradise FFPE reagent System and subjected to LCM within 2 hours of deparaffinization. About 20,000 epithelial cells were captured on LCM Macro CapSure caps (Applied Biosystems) using the Arcturus XT LCM instrument (Applied Biosystems) and the captured cells in the caps were used to extract total RNA. In either case, only the RNA from the epithelial mucosa was extracted. RecoverAll Total Nucleic Acid Extraction Kits for FFPE tissues were used for extraction. RNA was further purified and concentrated using the RNEasy Minelute Cleanup Kit , and then evaluated by the Agilent Bioanalyzer using an RNA 6000 Nano or Pico LabChip as described previously Five nanograms of total RNA was reverse-transcribed using the Taqman MicroRNA Reverse Transcription Kit and the Megaplex RT primer Human Pool A (Applied Biosystems). The reverse-transcribed cDNA was then pre-amplified in 12 cycles of PCR using Taqman PreAmp Master Mix and the Megaplex PreAmp primers, Human Pool A (Applied Biosystems). The cDNAs were then diluted and loaded onto a Taqman Human miRNA Array card A (Applied Biosystems), which contains probes for 377 distinct miRNAs and a housekeeping gene (MammU6). The Array cards were run on an ABI HT7900 quantitative PCR (qPCR) instrument. Ct values were obtained for all miRNAs represented on the cards and fold changes in expression were calculated using the delta delta Ct (ddCt) method. Expression levels of MammU6 on the Array card were used as control for the purpose of ddCt calculation. The expression array data have been deposited in Gene Expression Omnibus (GEO) of National Center for Biotechnology Information (NCBI) and are accessible through GEO series accession number GSE36726.Expression of miRNAs that demonstrated high differential expression by array card in five matched EoE cases before and after treatment were confirmed again in those same matched cases as well as in two additional matched cases. In addition, the expression of these differentially expressed miRNAs was determined in eight new samples of EoE biopsy material and compared to ten biopsies from unrelated normal esophageal epithelium . Five naFifty nanograms of total RNA was amplified and reverse-transcribed into cDNA using Ovation FFPE WTA system . Five to ten micrograms of amplified cDNA from the amplification above was fragmented and labeled for Affymetrix array analysis using Encore Biotin Module (Nugen Technologies). Array hybridization and analysis were performed by Genomics Core Facility at the Center for Genomics and Proteomics according to Affymetrix protocols .Affymetrix Gene 1.0 ST Array data was analyzed by Genomics Core Facility using Affymetrix Command Console and Expression Control. The expression array data have been deposited in GEO of NCBI and are accessible through GEO series accession number GSE36725.Functional annotation was performed using Partek Genomics Suite 6.0, Partek Inc, St. Louis, MI). Differentially regulated genes are selected based on the fold-change (FC), false discovery rate (FDR), and statistical significance . Target genes for miRNA were predicted using Ingenuity Pathway Analysis . The miRNA and mRNA in a pair have to be regulated in opposite directions and their interactions are either \u201cExperimentally observed\u201d or exhibit \u201cHigh (predicted) Confidence\u201d as defined by IPA. Functional pathway analysis and network analysis were performed using modules within IPA.Total RNA from five pairs of EoE biospies before and after treatment was extracted and miRNA expression levels were quantified by Taqman Low Density Array. Of all the miRNAs tested by the array, 36 of them were differentially regulated based on a paired t-test P-value of less than 0.05. Five transcripts were down-regulated after treatment and 33 were up-regulated. The absolute fold changes range from 1.6 to 151. Some miRNAs share the same target sites so that a total of 31 target sites were identified from all the miRNAs. MiR-373 and miR-520e share the same target sites while miR-373 is up-regulated and miR-520e is down-regulated post treatment and thus are excluded for further analysis. The differentially regulated miRNAs are listed in To validate the expression of the differentially regulated miRNAs discovered by Taqman Low Density Array in Paired biopsies from the same patient were used to profile the miRNA expression for the purpose of eliminating the inter-individual variation. However, as glucocorticosteroids were the major treatment component in our patient\u2019s cohort, miRNA expression following treatment may be related in part to the treatment effect. To test this hypothesis, we compared the miRNA expression of the mucosal biopsies from a new set of eight EoE patients with those from normal mucosa of ten additional pediatric esophageal biopsy samples from patients without any history of EoE. As shown in The major role of miRNA is to regulate mRNA expression at the transcriptional and translational level. We wished to determine how much of the mRNA expression in EoE is influenced by miRNAs. To profile the global mRNA changes in EoE, an Affymetrix GeneChip based mRNA gene profiling was conducted on five paired EoE biopsies before and after treatment. Total RNA was extracted from FFPE tissue sections and hybridized to Human Gene ST 1.0 Genechips. The Principle Component Analysis of data demonstrated that gene expression data from biopsies of the same status are highly correlated with each other . To screInformation regarding the miRNA-mRNA pairs is incorporated into a pathway network analysis on the 346 differentially regulated genes using IPA program. One of the top pathway networks IPA revealed is a gene regulatory network of more than 24 genes involving \u201cinflammatory response\u201d, \u201ccell-to-cell signalling and interaction\u201d, and \u201chematological system development and function\u201d . Within Given the finding that both targeted genes and non-targeted genes are equally represented in the network , we condLittle is known regarding miRNA regulatory pathways in allergic inflammation in general In our study 36 miRNAs were differentially expressed (32 upregulated and 4 downregulated) in EoE before and following treatment including 25 miRNAs at a level of 3 fold or more. Differential miRNA expression was correlated with differential mRNA expression in the same patients: 311 genes were found to be downregulated and 35 upregulated when comparing the pretreated to posttreated samples. Several of the mRNAs identified have been shown to play a role in EoE or in other allergic disorders. In general the results of this study are more heavily weighted towards miRNAs with increased expression levels and mRNAs with decreased expression levels in the inflammatory state as opposed to the treated samples. The opposing direction of the miRNA and mRNA expression is in line with miRNA\u2019s regulatory role on gene expression In an attempt to better define how much of the differential regulation of miRNAs in EoE was related to the effect of the glucocorticosteroid treatment on the allergic process as opposed to the allergic process alone we examined the expression levels of the miRNAs originally detected to those in additional material from EoE patients compared to control tissue from histologically normal appearing esophageal mucosa. The fold changes as detected by qPCR were significantly higher in the pre vs posttreatment tissue than in the EoE vs control tissue and not all of the qRT-PCR differential expression reached statistical significance. The differential expression of certain of these miRNAs such as miR-214, miR-142-3p and miR-29b appear to be influenced much more significantly by the treatment as opposed to the allergic process alone.Another important issue is to determine which cell types are responsible for the differential expression of miRNAs in this study. We purposely dissected areas of epithelium only and avoided submucosal stromal tissue in many cases employing LCM for this purpose. In addition to eosinophils the squamous epithelium in EoE also exhibits increased infiltration by T-cells and mast cells A number of miRNAs that were found to be differentially regulated in this study were implicated by others to play a role in allergic and inflammatory disorders Although miR-214 has been implicated in a number of neoplastic disorders, to date a role for miR-214 in inflammatory or allergic disorders has not been described. MiR-214 has been found to be elevated in models of renal injury and may play a role in epithelial mesenchymal transition Helicobacter pyloriBoth miR-146a and miR-146b were markedly increased in the epithelium of EoE patients. MiR-146a has been shown to regulate several physiological and pathophysiological pathways in hematopoietic cells as reviewed by Hua et al Increased expression of miR-21 was detected in both the pretreated EoE group as opposed to the post-treated group and in the EoE group as oppose to normal controls. MiR-21 is involved in the regulation of many different pathways and is considered an \u201concomir\u201d due to its widespread role in neoplasia. In allergic disorders miR-21 has been shown to be involved in the regulation of allergic lung inflammation by targeting IL12a (IL-12p35) a cytokine that contributes to polarization of Th cells toward Th2 cells MiR-203 down regulated three fold targets the ALOX15 gene (upregulated 10 fold) which encodes for arachidonate 15 lipoxygenase (15-LO). The 15-LO protein is upregulated in asthma As the human genome may encode over 1000 miRNAs, which may target about 60% of mammalian genes, several immune related genes which were dysregulated in our cohort had no complementary regulatory miRNA identified. Of these genes several have been shown to play a role in the pathophysiology of allergic disorders including EoE. TNFAIP6 the most significantly elevated mRNA in the pretreated biopsies as well as CPA a mast cell derived gene were both shown to be significantly upregulated in a previous study of EoE Our data implicate several miRNAs and miRNA-MRNA gene sets expressed in the epithelial layer in EoE. The identified gene expression changes provide additional diagnostic and therapeutic targets for EoE and other eosinophilic epithelial diseases.Table S1The full list of 346 differentially regulated mRNAs targeted by differentially regulated miRNAs.(XLS)Click here for additional data file."}
+{"text": "An extensive search through the Protein Databank (about 4500 nonredundant structures) was previously completed within our lab to analyze the energetic and geometric characteristics of an understudied molecular interaction known as an anion-quadrupole (AQ) interaction. Such an interaction occurs when the positively charged edge of an aromatic ring, resulting from a quadruple moment , renders the aromatic molecule noncovalently bound to a nearby anionic molecule. The study considered a very limited scenario of molecules that can participate in AQ interactions, consisting of the phenyl group of a phenylalanine (phe) amino acid as the aromatic participant and the carboxylate group of an aspartate (asp) or glutamate (glu) amino acid as the anionic participant. The results revealed anion-quadrupole pairs to be prevalent within most of the protein structures. It was also observed that the interaction energy for AQ pairs was heavily dependent on the angle between the anion and plane of the aromatic ring, favoring a more planar interaction.In light of these critical observations being made from such a limited scenario, only phe-glu and phe-asp pairs and in a reduced sample set of the PDB, we are now continuing this work of identifying AQ interactions using a greatly expanded strategy. We are following these four aims: 1. Optimizing the AQ-search program to run in a semi-parallel fashion and on a large cluster of processors in order to handle larger analyses, 2. Adding to our search additional anionic participants which will include non-protein structures such as DNA and small ligands, 3. Studying a subset of the AQ pairs with molecular dynamics simulations in buried and solvent exposed environments to observe non-static behavioral traits as well as the reproducibility of AQ interactions by force field parameters. 4. Building an online database for public access to our data and search program."}
+{"text": "Xenotropic murine leukemia virus-related virus (XMRV) was first identified in 2005 in a study of human prostate cancer patients with genetic variants of the antiviral enzyme, RNase L. Subsequent investigations in North America, Europe and Asia have either observed or failed to detect XMRV in patients or normal, healthy control individuals. Among the confounding factors are the potential for lab contamination with similar or identical viruses or viral sequences originating in mice. In some studies, relatively contamination-resistant methods suggest that either XMRV or a similar type of virus is present in some patients. Evidence for and against genuine infections of humans with this intriguing virus (and/or related viruses) will be discussed."}
+{"text": "Biologic therapies not only offer the prospect of improved patient outcomes in a variety of autoimmune diseases, but also the opportunity to explore the specific target's role in the underlying mechanisms of disease. Over recent years we have studied the role of regulatory T cells (Treg) in patients with rheumatoid arthritis before and after anti-TNF therapy. We have shown that Treg from patients with rheumatoid arthritis have defective suppressor function. This Treg defect is linked with abnormalities in the expression and function of CTLA-4. Anti-TNF antibody therapy did not reverse CTLA-4 dysfunction but instead induced the differentiation of a distinct and potent Treg population. These induced Treg were able to inhibit IL-17 production, in contrast to Treg from healthy individuals, patients with active RA or RA patients treated with etanercept, a modified TNF receptor. These results may provide mechanistic insight into the therapeutic benefit of switching between different anti-TNF agents and the differing incidence of tuberculosis between adalimumab and etanercept."}
+{"text": "Up to 70% of adolescents with moderate to severe unipolar major depression respond to psychological treatment plus Fluoxetine (20-50 mg) with symptom reduction and improved social function reported by 24 weeks after beginning treatment. Around 20% of non responders appear treatment resistant and 30% of responders relapse within 2 years. The specific efficacy of different psychological therapies and the moderators and mediators that influence risk for relapse are unclear. The cost-effectiveness and safety of psychological treatments remain poorly evaluated.Improving Mood with Psychoanalytic and Cognitive Therapies, the IMPACT Study, will determine whether Cognitive Behavioural Therapy or Short Term Psychoanalytic Therapy is superior in reducing relapse compared with Specialist Clinical Care. The study is a multicentre pragmatic effectiveness superiority randomised clinical trial: Cognitive Behavioural Therapy consists of 20 sessions over 30 weeks, Short Term Psychoanalytic Psychotherapy 30 sessions over 30 weeks and Specialist Clinical Care 12 sessions over 20 weeks. We will recruit 540 patients with 180 randomised to each arm. Patients will be reassessed at 6, 12, 36, 52 and 86 weeks. Methodological aspects of the study are systematic recruitment, explicit inclusion criteria, reliability checks of assessments with control for rater shift, research assessors independent of treatment team and blind to randomization, analysis by intention to treat, data management using remote data entry, measures of quality assurance, advanced statistical analysis, manualised treatment protocols, checks of adherence and competence of therapists and assessment of cost-effectiveness. We will also determine whether time to recovery and/or relapse are moderated by variations in brain structure and function and selected genetic and hormone biomarkers taken at entry.The objective of this clinical trial is to determine whether there are specific effects of specialist psychotherapy that reduce relapse in unipolar major depression in adolescents and thereby costs of treatment to society. We also anticipate being able to utilise psychotherapy experience, neuroimaging, genetic and hormone measures to reveal what techniques and their protocols may work best for which patients.ISRCTN83033550Current Controlled Trials First depressive episodes tend to arise in vulnerable individuals exposed to current chronic psychosocial adversities and acute adverse life events -3. LaterOne randomised study in the UK showed that even in adolescent patients who were compliant with full active treatment for 6 months results were moderate; only 20% fully recovered, 30% achieved some level of remission, a further 30% had high number of residual symptoms and 20% did not respond to treatment at all . The posCognitive Behaviour Therapy (CBT) has been widely investigated and shown to be effective in the treatment of mild and moderate depressions in the short term ,14. ReceA small study of moderately to severely depressed young people attending clinical services has shown that patients may begin to relapse within 3 months of discharge, even in those fully recovered, and over the next 5-10 years some 50%-70% will relapse with a small group of patients never attaining remission over the third decade of life .There is now a growing evidence base for psychodynamic psychotherapy with adults ,21 incluSpecialist Clinical Care (SCC) refers to the active treatment process that is administered routinely in many but not all UK outpatient child and adolescent mental health services (CAMHS). Specialist Clinical Care is usually delivered through a multidisciplinary team and unlike CBT and STPP is available in the vast majority of all CAMHS across the UK. This treatment approach has recently been manualised and is now being taught to mental health practitioners working in mental health services . To dateFinally interpersonal psychotherapy (IPT), a conversational treatment with some principles derived from STPP and SCC has been shown to be efficacious and effective with children and adolescents with mild to moderate depression suggesting that relatively brief, active psychological treatments not focussed on distorted or abnormal cognitive processing treatments are indeed able to alleviate depressive symptoms and improve social functioning at least in the short term .In summary there is now substantial data that 3 active specialist psychological treatments derived from different theoretical perspectives and requiring therapists to be trained in specific modalities of delivering treatment are efficacious and clinically effective in alleviating depressive symptoms and improving social function in the short term in at least 50% of depressed adolescents. It is likely, but yet to be demonstrated that SCC will have similar properties for the treatment of acute depressive episodes. In contrast there is no evidence that the successful management of acute depression in this age range has longer term benefits through reducing relapse and recurrence risk.The current randomised controlled trial was designed firstly to determine i) whether psychological treatment delivered to moderately to severe depressed adolescents would reduce risk of relapse and recurrence and if so ii) which was the most likely to reduce the risk of relapse 12 and 18 months after therapy began. This paper describes the design of this trial, how we will implement the protocols and analyse the results.The \"Improving Mood with Psychoanalytic and Cognitive Therapies\" (IMPACT) study is a pragmatic, relapse prevention superiority, randomised controlled trial. The study compares three interventions: Short Term Psychoanalytic Psychotherapy (STPP), Cognitive Behaviour Therapy (CBT) and Specialist Clinical Care (SCC) delivered for the treatment of moderate to severe depression in adolescents attending routine CAMHS clinics in the UK. Patients in any arm may receive Fluoxetine 20-50 mg as part of their treatment for reducing clinical symptoms and improving social function of the presenting episode. The use of an SSRI will adhere to UK NICE guidelines as demonstrated in the ADAPT study . The stuTo investigate the clinical effectiveness of psychological treatment in reducing the persistence and/or relapse of major depression in adolescents. In particular, to determine whether the specialist individual psychological treatments of CBT or STPP are more effective at reducing risk for relapse at 86 weeks after treatment had started compared to SCC. We will test a primary superiority hypothesis that STPP and CBT are both independently more effective at reducing relapse risk than SCC and a subsidiary hypothesis that STPP is more effective than CBT.To investigate the cost-effectiveness of psychological treatment and in particular to determine whether the additional costs of specialised treatment are justified by improvements in effectiveness and/or decreased use of health and social care services by 86 weeks follow up.Age 11 through 17 yearsCurrent DSM-IV unipolar MDD diagnoses with moderate to severe impairment.Generalised learning difficulties or a Pervasive Developmental DisorderCurrently taking another medication that may interact with an SSRI and unable to stop this medication.A primary diagnosis of Bipolar Type I, Schizophrenia and Eating DisordersNo other exclusions will be made in order to ensure that the sample is diverse and representative of the kind of cases that NHS CAMHS take on for treatment.The flow of participants from recruitment through to end of study is shown in figure The research team will approach local CAMHS within each of the trial sites and will introduce the study to staff allowing them to ask questions and become familiar with the objectives of the trial. Identification and initial screening of potential participants will then be done by clinical staff working within these clinics, following referral as per usual to specialist CAMHS. In many cases the clinicians involved in the initial assessments when the potential participants are referred to a service will be staff who are also delivering treatment as part of the group, based in clinics. At assessment clinicians will be asked to complete a depression screening tool (see appendix) specifically designed to assist referral to IMPACT. Once the potential participants are identified, clinicians will invite the young person and their carer(s) to take part in the trial. If they are interested their details will be passed to the research group.The participants will then be contacted by a researcher who will then schedule an initial meeting during which the participants will be invited to sign a consent form. All research baseline assessments will be administered to the young person and their carer in parallel sessions by two research workers. After this, researchers will confirm whether the participants meet diagnostic and other entry criteria. If they do, participants will then be randomised into one of the treatment arms. Researchers will remain blind to treatment allocation.After consent has been obtained and the baseline assessment has been carried out, a trial ID will be assigned. Randomisation will be stratified by age, sex, region and scores on the Mood and Feelings Questionnaire (MFQ) . RandomiIMPACT is a pragmatic superiority trial that seeks to evaluate the treatments that could be used in standard NHS practice. Therefore, comprehensive treatment protocols will be used. These are based on usual clinical practice and have been developed for the trial. The rational for using treatment protocols is that: a) protocols aid dissemination of treatment methods into clinical practice; b) they help to standardize the intervention between therapists and across sites; and c) they form the bases for audiotape ratings of adherence to the intervention and thus ensure that the interventions have been given properly; and importantly d) that therapists in the SCC group do not give CBT or STPP interventions. The three treatments will be delivered at different levels of intensity, defined by the total number of sessions over the study period. The number of sessions for each treatment are as follows: SCC 12 individual sessions plus up to 4 family/marital sessions to be delivered over 20 weeks, STPP 30 sessions plus 6 parent sessions to be delivered over 30 weeks and CBT 20 individual sessions plus up to 4 family/marital sessions to be delivered over 30 weeks.SCC will consist of a psychosocial management programme with Fluoxetine in severe cases: The procedure will be a treatment course over 20 weeks maximum consisting first of 6 sessions over the first 8 weeks. If remission is not achieved psychosocial treatment will be extended for a further 6 sessions and Fluoxetine added. End of trial treatment will be denoted by week 20 from the first session. The content will involve a conversational approach with the patient and their parents and siblings if required. The treatment will emphasise the importance of action-oriented, goal-focused and interpersonal activities as therapeutic strategies. There will be no focus on changing cognitions and negative cognition-driven behaviours will not be deconstructed. Finally there will be no ongoing analysis with the patient about the putative unconscious origins of their symptoms. Advice will be given on personal activities, social behaviour, and school work and attention will be paid to immediate distressing events such as family difficulties. There will be a continuing focus on psycho-education, i.e. what depression is/co-morbid diagnoses/how common it is/its nature and the typical course of the disorder/how it affects the adolescent and those around them. More detailed attention will be paid to the consequences of any acute undesirable life events focused on the adolescents. Up to 4 family or marital therapy sessions for parents will be given where required within the 20 week period. Liaison with external agencies and personnel e.g. teachers, social care and peer group will be undertaken. Specific advice will be given on mental and physical hygiene. Helping oneself through engaging in pleasurable activities and diminishing solitariness will be strongly enforced.SCC will not use cognitive or reflective techniques related to analysis of unconscious motives and behaviours nor specific behavioural strategies. Very ill patients may require Fluoxetine before 6 sessions have been delivered. If Fluoxetine is added medical assessment sessions will occur and recorded. The standard protocol developed for the ADAPT study will be used whereby a test dose of 10 mg is given for 48 hours followed by 20 mg. If there is no improvement within 2-4 weeks dose can be adjusted upwards to 60 mg maximum (median dose in the ADAPT study was 30 mg with a range of 20 mg-50 mg). Both adverse events and side effects will be recorded for psychological as well as pharmacological treatments.The form of STPP to be used in the trial, which reflects the approach to psychodynamic work as it is practiced in child mental health services in the UK, has been manualised for the study. This manual draws on the work of other psychodynamic workers , includiCBT therapy in this trial is based on that developed for adults and has been adapted to include parental involvement and specific techniques for adolescents. CBT is an active, verbal therapy which is based on an individual formulation of the client's current problems and their associated antecedents, precipitating and maintaining factors. This formulation is shared with the client (and their parents).CBT is typified by an emphasis on 'collaborative empiricism', explicit, tangible and shared goals and clear structured sessions. Typically therapy has a number of phases which include assessment, psycho-education into the cognitive behavioural model of depression , the introduction of monitoring methods , behavioural activation and activity scheduling, linking thoughts, feelings and behaviours, identifying and challenging negative automatic thoughts, developing and reinforcing adaptive thoughts and relapse prevention strategies. Specific techniques have been developed to support therapy and to maintain engagement and optimism for change. Topics introduced within therapy session are extended and supported outside the session by tasks completed by the client between sessions and reviewed at each subsequent session. Delivery of the programme is flexible; typically it may include 12 sessions delivered weekly, followed by 8 biweekly sessions until the end of the treatment. CBT can be delivered to the adolescent alone or to parents and the young person together and this is determined by the formulation.To maximise the clinical validity of the outcome evaluations, these assessments will be made across multiple domains using multiple methods and sources.Major depression and co-morbidity - Schedule for Affective Disorders and Schizophrenia for School Aged Children (6-18 years) (k-SADS-PL) Monitoring suicidal adverse events across the treatment trial - Columbia Suicide Severity Rating Scale (C-SSRS)Outcomes of child and adolescent psychiatric disorders - The Health of the Nation Outcome Scale for Children and Adolescents (HoNOSCA)DSM-IV Borderline personality disorder - Zanarini Rating Scale for Borderline Personality Disorder (ZAN:BPD)Clinical Global Impressions Scale (CGI) Service use - Child and Adolescent Service Use Schedule (CA-SUS) ,43Self-report measure of depressive, anxiety, obsessive-compulsive and anti-social behaviour symptoms as well as global self-esteem - The Young Persons questionnaire (YPQ) containing the Mood and Feelings questionnaire (MFQ), revised manifest anxiety scale (RCMAS), short form of the Leyton Obsessional Inventory (LOI), the Rosenberg self esteem scale (RSES) and an antisocial behaviour checklist consisting of 11 items derived from DSM-IV clinical criteria for conduct disorder behaviour checklist questionnaire ,44-46Responses to low mood - Ruminative Response Scale Self--harming and risk-taking behaviour - The Risk Taking and Self-Harming Inventory for Adolescents (RTSHIA) Fundamental emotions - Differential Emotion Scale (DES-IV)Experiences associated with depression - Depressive Experiences Questionnaire (DEQ) Cognitive vulnerability to depression - Depressed States Checklist (DSC)Parenting - Alabama Parenting Questionnaire (APQ)Life events - Life Events Questionnaire (LEQ)Personality - NEO-Five Factor Inventory (NEO-FFI) Health-related quality of life - Euroquol (EQ-5D) Current friendship satisfaction - Friendships Questionnaire Symptom intensity - Symptom Checklist (SCL:90)Working Alliance - Working Alliance Inventory - Short form (WAI-S)Adolescent Integrative measure (AIM), adaptation of the HCAM - Hampstead Child and Adaptation Measure Family functioning (FAD)At baseline, all participants will be asked to collect saliva samples at waking, 30 minutes after waking and again at 22.00 hrs for two consecutive days, for cortisol assay. There is excellent correlation for cortisol levels between plasma and saliva and also between csf and plasma . Levels We will test whether the 5-HTTLPR s allele, the 5-HT2A G allele, and high cortisol predict i) time remission ii) time to relapse iii) differential response to a specific treatment modality. Naturalistic study has shown that higher morning cortisol in depressed adolescents is associated with longer duration of depressive episode regardless of severity and comorbidity at presentation . Since hThere is rapidly emerging evidence for distinctive neural structural abnormalities associated with affective disorders in young people compared to other psychopathologies . There iTo achieve these aims we will recruit 120 participants (40 from each treatment arm) in the East Anglia Region to a magnetic resonance imaging study. Of these 40 receiving CBT following randomization will have a second scan at 36 weeks. In addition 40 age and sex matched controls with no lifetime history of depression will be scanned once only.Structural MRI datasets will be obtained for whole brain, multi-channel segmentation and voxel based morphometry and high resolution grey matter volume estimates in limbic and frontal cortical regions of interest defined a priori by a parcellated template image. Diffusion tensor imaging (DTI) data will be analyzed for whole brain analysis of fractional anisotropy measures of white matter integration and tractography of selected axonal tracts mediating connections between limbic and frontal regions of interest. Twelve diffusion-weighted directed volumes and 5 volumes without diffusion-weighting (b = 0) will be acquired. Acquisition time is ~10 minutes.52, the respiratory cycle and the inter-beat interval (RR) in electrocardiographic data will be simultaneously recorded in the scanner. Total acquisition time for all fMRI datasets is ~40 minutes.Functional MRI (fMRI) datasets will be acquired using Echo-planar images (EPI) depicting BOLD contrast at a sampling time (TR) of 2 seconds during performance of three tasks: a facial emotion processing task designed to activate amygdala and other limbic regions and two tasks involving executive and mnemonic processing of emotionally valent stimuli that will additionally activate prefrontal and medial temporal areas. We will also acquire fMRI data with participants in a no-task or resting state to investigate endogenous dynamics and functional connectivity in fronto-limbic circuits. For all fMRI data acquisitions, but especially for proper control of potential cardiorespiratory confounds in analysis of resting state dataFollow-up assessments will be conducted at 6, 12, 36, 52 and 86 weeks after the start of treatment. To monitor for any adverse events or side effects of therapy, the researchers will complete the Adverse events/Side effect questionnaire at each follow-up assessment throughout the treatment progress . Please IMPACT is a pragmatic superiority trial that compares SCC, CBT and STPP to reduce relapse in adolescents with DSM-IV defined moderate to severe depression. Cases with DSM-IV unipolar major depression will be randomly allocated to SCC, CBT or STPP and outcomes will be assessed at planned follow-up points by outcome assessors unaware of the treatment allocation.The proposed design of the trial will run in 6 CAMHS in each of the three centres, giving 18 clinics with a minimum of one therapist for each treatment modality in each clinic. Because IMPACT will involve more than two treatments, a number of comparisons can be made between treatment groups. We propose to make two: a) the two individual specialist treatments CBT and STPP will be compared; and b) the individual specialist treatments combined will be compared with SCC. A 2.5% two-tailed significance level has therefore been used in the power calculation. Additionally, power has been calculated according to each of the following hypothesis of comparisons: superiority, equivalence or non-inferiority. It has been assumed that 5 points on the self-report MFQ is the minimum clinically important difference. This is approximately 25% of the change in the MFQ scale from baseline to 28 weeks according to the results from the ADAPT trial and is eAll analysis will be according to intention-to-treat principle. Characteristics of the treatment groups will be described at baseline. Preliminary analysis will investigate the pattern of missing follow-up data. The statistical analysis of the primary outcome measure (MFQ) and the secondary measures will estimate the treatment effect using a linear mixed effects models adjusting for pre-specified prognostic variables and the time point of assessment. The model will include subject level random intercept and gradient effects and also random effect for therapist. Ordered categorical secondary outcome measures such as the CGI scales and suicidality rating scales will be analysed using the proportional odds model . A sub-gThe objective of the economic evaluation is to evaluate the relative costs and cost-effectiveness of the three treatments. Since STPP and CBT are more resource intensive than best practice SCC, their provision requires additional health service resources that could be used elsewhere. To ensure that such resource allocation is cost-effective, it is necessary to demonstrate that the additional resources spent can be justified, either in terms of saving as a result of reduced demand for other services or in terms of gains in effectiveness.The economic evaluation will take a societal perspective, including the use of all health, social care, education and criminal justice sector resources plus family costs in the form of travel to trial intervention sessions and productivity losses of the primary carer resulting from their child's illness. Economic information will be collected in interview at baseline and all follow-up points using the Child and Adolescent Service Use Schedule (CA-SUS), developed by the applicants in previous research in child and adolescent mental health populations and adapted for the purpose of the current study ,43. DataThe cost of the trial interventions will be calculated using a bottom-up costing approach which wiCost-effectiveness will be assessed at the 86 week follow-up and will be measured in terms of quality adjusted life years using the EQ-5D measure of health related quality of life . Cost-efThe study protocol was approved Cambridgeshire 2 Research Ethics Committee, Addenbrookes Hosptial Cambridge, UK.The treatment efficacy and effectiveness for unipolar major depressions in post pubertal adolescents has established that combination psychological and SSRI treatment is the therapy of choice for establishing remission in the short term. Acute treatment appears highly satisfactory of around 70% of cases regardless of clinical characteristics. Currently there are very few clinical markers of poor treatment response to help guide clinicians. Severity and at presentation suggests a longer time to recovery but not treatment non response per se . In contThe current IMPACT study was designed not only to be informative in terms of effective and cost effective treatment in the short and extended medium term but uniquely in specifically focusing on reducing relapse risk in the longer term. A second and important addition is that one of the treatment arms will for the first time comprehensively test the effectiveness of a short tem psychoanalytically psychotherapy, STPP. Comparing the outcomes of those who received CBT, STPP and SCC will determine the relative clinical and economic benefits associated SCC and STPP. Furthermore, by collecting regular follow-up data throughout treatment and then at 52 and 86 weeks, we will be able to explore factors that might influence treatment response as well as the long term benefits associated with receiving CBT and STPP. Treatments will vary in length as stated within the respective clinical protocols therefore time to relapse will be calculated from the last treatment session given. Additionally, the IMPACT trial will give us the opportunity to examine the productivity losses and gains of each treatment. This will allow for a set of calculations regarding the treatment costs of each arm and therefore the overall economic effectiveness of providing one or more treatments' to prevent relapse.IMPACT is also the first study of depression in young people to include measurement of variables that can provide insights into the mechanisms that govern treatment response. Studies of depression in adults have attempted to establish genetic biomarkers of liability for treatment response to SSRIs. A recent metananlyses of the three published studies to date involving 2998 treated depressed adults in total found none of the studies reported results that achieved genome-wide significance, suggesting that larger samples and better outcome measures will be needed . Indeed thed); EQ-5D: Euroquol; FAD: The McMaster Family Assessment Device; HCAM: Hampstead Child and Adaptation Measure; HoNOSCA: The Health of the National Outcome Scale for Children and Adolescents; ICER: Incremental cost-effectiveness ratios; ID: Identification; IMPACT: Improving mood with Psychoanalytic and Cognitive Therapies; IPT: Interpersonal Psychotherapy; K-SADS-PL: Schedule for Affective Disorders and Schizophrenia for School Aged Children (6-18 years) present and lifetime; LEQ: Life Events Questionnaire; LOI: Leyton Obsessional Inventory; MD: Major Depression; MDD: Major Depressive Disorder; MFQ: Moods and Feelings Questionnaire; MRI: Magnetic Resonance Imaging; NEO-FFI: NEO-Five Factor Inventory; NHS: National Health Service; NICE: National Institute for Clinical excellence; OA: Outcome assessor; RCMAS: Revised Manifest Anxiety Scale; RCT: Randomised Controlled Trial; RSES: Rosenberg Self-esteem Scale; RTSHIA: The Risk Taking and Self-Harming Inventory for Adolescents; SCC: Specialist Clinical Care; SCL:90: Symptom Checklist; SD: Standard Deviation; SSRI: Selective Serotonin Reuptake Inhibitors; STPP: Short Term Psychoanalytic Psychotherapy; UK: The United Kingdom; WAI-S: Working Alliance Inventory - Short form; YPQ: Young Persons Questionnaire; ZAN:BPD: Zanerini Rating Scale for Borderline Personality DisorderADAPT: Adolescent Depression, Antidepressants and Psychotherapy Trial: The ADAPT Study; AIM: Adolescent Integrative Measure; APQ:Alabama Parenting Questionnaire; CAMHS: Child and Adolescent Mental Health Services; CA-SUS: Child and Adolescent Service Use Schedule; CBT: Cognitive Behavioural Therapy; CGS: Clinical Global Impressions Scale; C-SSRS: Columbia Suicide Severity Rating Scale; DEQ: Depressive Experiences Questionnaire; DES-IV: Differential Emotion Scale; DSC: Depressive States Checklist; DSM-IV: Diagnostic and statistical manual of mental health disorders (4The authors declare that they have no competing interests.IG and PF designed the trial and the multicenter implementation, SB completed the health economics design and contributed to calculating power for economic variables, JH RK MT BD and RS contributed to drafting the grant application with IG and PF. RK, PW and IG wrote the SCC manual, SR wrote the CBT manual, RS and MT facilitated writing of the STPP manual by a group of expert child psychotherapists, CR wrote the statistical and data analytic strategy and together with IG is responsible for the data collation, IG BD PW and ST devised the adverse events and side effects scale and collated measures with JH MT and PF, ST and IG drafted the paper, JS and IG wrote the neuroimaging design, JS designed the structural and functional neuroimaging protocol, and PW and IG designed and drafted the genetics and hormones strategy and protocol. All authors contributed to revisions of the manuscript prior to submission and approved the submitted draft."}
+{"text": "Childhood adversity can have life-long consequences for the response to stressful events later in life. Abuse or severe neglect are well-known risk factors for post-traumatic stress disorder (PTSD), at least in part via changes in neural systems mediating the endocrine response to stress. Determining the biological signatures of risk for stress-related mental disorders such as PTSD is important for identifying homogenous subgroups and improving treatment options. This review will focus on epigenetic regulation in early life by adversity and parental care \u2013 prime mediators of offspring neurodevelopment \u2013 in order to address several questions: (1) what have studies of humans and analogous animal models taught us about molecular mechanisms underlying changes in stress-sensitive physiological systems in response to early life trauma? (2) What are the considerations for studies relating early adversity and PTSD risk, going forward? I will summarize studies in animals and humans that address the epigenetic response to early adversity in the brain and in peripheral tissues. In so doing, I will describe work on the glucocorticoid receptor and other well-characterized genes within the stress response pathway and then turn to genomic studies to illustrate the use of increasingly powerful high-throughput approaches to the study of epigenomic mechanisms. Childhood adversity can have life-long consequences for the response to stressful events later in life . RepeateA first critical issue in understanding the relative risk conferred by early life adversity concerns the molecular mechanisms mediating altered HPA function as well as other pathways underlying vulnerability that respond in a manner that is both contingent upon the adversity and stable in the face of similar perturbations in later life. Epigenetic mechanisms include DNA methylation, histone modifications, and non-coding RNA. The methylation of cytosine in cytosine-guanine dinucleotides (CpGs) in the DNA itself is the best understood epigenetic mark and the focus of the majority of current investigations. However other modifications to DNA, including hydroxymethylation (5-hmC) and other recently identified DNA modifications, are attracting increasing interest as potential gene regulatory mechanisms . It shouElucidating which regions of the genome are labile in response to early life adversity, how rapidly changes can occur, and the ontological time-course of epigenetic changes remains a matter of active investigation. As I discuss below, these epigenetic responses likely depend on the genomic loci under consideration. Humans are exposed to a variety of stressors throughout life, however early life stress appears to exert an profound effects on HPA function that is pervasive throughout life in part by altering epigenetic mechanisms in a stable manner. I will illustrate this point by discussing several studies in rodents that have provided foundational knowledge applicable to investigations in humans.7 splice variant of the GR promoter in the hippocampus and of the promoter of the GAD67 gene in the prefrontal cortex to select nucleotides within the promoter. Another recent study has replicated the finding of enhanced DNA methylation at this splice variant and gone on to identify altered DNA methylation in additional splice variants of the GR promoter and show that this response to early adversity is brain region specific, not occurring in the anterior cingulate and defined candidate genomic loci. A study using a microarray approach combined with methylated DNA immunoprecipitation to interrogate promoter regions in all known protein-coding genes found that evidence of hypo- and hypermethylation among hundreds of genes in hippocampi from suicide completers with a history of early life abuse compared to non-abused controls . This stWe documented changes in DNA methylation, H3K9 acteylation and gene expression across a 7\u2009Mb region flanking the GR gene hippocampus using a tiling microarray approach in rats . DiffereIn a follow-up to this study, we analyzed the GR locus in hippocampi of adult suicide victims who were abused early in life compared to non-abused controls . Abused + T-cells) can often be divided into functional classes that are dissociable by additional rounds of selection, making it difficult to know whether one has attained the necessary level of specificity. An additional method to address this problem is informatic. Data gathered by the Encyclopedia of DNA Elements (ENCODE) project and other large-scale genomics initiatives are providing multidimensional representations of epigenetic and functional genomic signatures from a large number of cell types in rodents, and syntenic regions of the human genome that are epigenetically labile in conditions of early adversity . StudieMany animals, including rodents and humans, appear to have evolved to respond both to immediate threats to life and limb and to psychosocial stress associated with predation risk, including via the transfer of information about environmental conditions to the offspring via maternal factors. For example, a number of studies in wildlife ecology and comparative endocrinology over the past 20\u2009years have indicated that the influence of predators on stress in free-living animals is long-lasting, resembling stress effects in laboratory animal models of PTSD . Responsper se (Elucidating the biological mechanisms underlying effects of early social experiences on later mental health is challenging in humans for reasons that include technical/analytic complexity and limited access to relevant biological material. New methods that offer the ability to examine DNA methylation at single-nucleotide resolution genome-wide are advancing rapidly and, in tandem, a vast array of analytical tools and statistical methods are now available to normalize known technical biases, visualize epigenetic modifications, and identify differences among subjects . Genome-per se . Buccal The author declares that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Signals recorded from peripheral nerves may provide an effective and reliable means of controlling powered prosthetic limbs. Longitudinal intrafascicular electrodes (LIFEs) have been used to record extracellular motor activity from peripheral nerves in upper-limb amputees for periods up to several weeks and the ability to decode the activity and use it for single degree-of-freedom (DOF) control of a prosthetic arm has been demonstrated . However"}
+{"text": "Migraine attacks have been shown to interfere with normal function in the brain such as motor or sensory function. However, to date, there has been no clinical neurophysiology study focusing on the motor function in children with migraine during headache attacks. To investigate the motor function in children with migraine, twenty-six children with acute migraine, meeting International Classification of Headache Disorders criteria and age- and gender-matched healthy children were studied using a 275-channel magnetoencephalography system. A finger-tapping paradigm was designed to elicit neuromagnetic activation in the motor cortex. Children with migraine showed significantly prolonged latency of movement-evoked magnetic fields (MEF) during finger movement compared with the controls. The correlation coefficient of MEF latency and age in children with migraine was significantly different from that in healthy controls. The spectral power of high gamma (65\u2013150 Hz) oscillations during finger movement in the primary motor cortex is also significantly higher in children with migraine than in controls. The alteration of responding latency and aberrant high gamma oscillations suggest that the developmental trajectory of motor function in children with migraine is impaired during migraine attacks and/or developmentally delayed. This finding indicates that childhood migraine may affect the development of brain function and result in long-term problems. Headache is a common childhood complaint with up to 75% of children reporting a notable headache by the age of 15 years. Pediatric migraine is the most common cause of recurrent headache, occurring in up to 28% of teenagers Magnetoencephalography (MEG), as a relatively new technique, can noninvasively, directly, and quantitatively measure neuronal activity with excellent temporal resolution and good spatial resolution Based on literature: (1) white matter integrity is significantly damaged in migraine nd Edition Twenty-six children with a diagnosis of migraine who had acute migraine attack were recruited from our Headache Clinic see . The parAll subjects performed a brisk left or right index finger tapping immediately after hearing a sound cue square tone). Subjects were instructed to press a response button with the index finger that was ipsilateral to the tone see . The eyeThe neuromagnetic signals were recorded in a magnetically shielded room using a whole head CTF 275-Channel MEG system in Cincinnati Children\u2019s MEG Center prior to clinical treatment for the participants. This magnetic shielded room was designed to reduce environmental magnetic noise. Before data acquisition commenced, three electromagnetic coils were attached to the nasion, left and right pre-auricular points of each subject. These three coils were subsequently activated at different frequencies for measuring each subject\u2019s head position relative to the MEG sensors. Each subject was comfortably positioned in the supine position with arms resting on either side, during the entire procedure. The sampling rate of the MEG recording was 6000 Hz per channel. An acquisition window was set to 3000 ms per trial, with 2000 ms pre-trigger and 1000 ms post-trigger. The data were recorded with a noise cancellation of third order gradients and without on-line filtering. Subjects were asked to remain still. If head movement during a recording was beyond 5 mm, that dataset was indicated as \u201cbad\u201d and an additional trial was recorded.Three-dimensional Magnetization-Prepared Rapid Acquisition Gradient Echo sequences were obtained for all subjects with a 3T scanner . Three fiducial markers were placed in identical locations to the positions of the three coils used in the MEG recordings. With the aid of digital photographs, an accurate co-registration of the two data sets was obtained. All anatomical landmarks digitized in the MEG study were made identifiable in the (MRI). Pediatric brain templates developed by Imaging Research Center and MEG Center at CCHMC were used for group source comparison and visualization At the sensor level, MEG waveforms were manually averaged using DataEditor and MEG Processor for identification of each temporal component after the removal of eye blinks and muscular activity. The averaged MEG data were preprocessed by removing the DC offset based on the pre-trigger baseline. An off-line high pass filter (1 Hz) and low pass filter (30 Hz) were applied for viewing. The latencies and amplitudes of each recognizable peak were measured for each subject.\u03b8 from the covariance C of the unaveraged MEG data and the lead field B\u03b8 using the equation: Synthetic aperture magnetometry (SAM) was used for localization of high-gamma oscillations of cortical source activity from the MEG data without averaging. SAM created a spatial filter for estimating source activity from the MEG data. SAM was an adaptive minimum-variance beamformer for which the output was a weighted linear sum of all the primary MEG sensors. At each coordinate voxel in source imaging, the SAM computed beamformer coefficients WThe effects of migraine on the latency and amplitude of neuromagnetic responses and SAM source power were analyzed with multiple analyses of variance (ANOVA). The fixed factors were the group and age (categorized by quartiles). The dependent variables were latency, amplitude or SAM source power. Post-hoc comparison of two groups was performed with Student T-tests. The SAM values of voxels displaying the strongest signal power changes in the sensorimotor cortex were statistically compared with Student T-tests for migraine subjects and controls. The Pearson Correlation was used to identify the correlation in both groups between the corresponding latencies, amplitudes of neuromagnetic responses and the age. The differences of the correlation coefficients between the two groups were determined by using the Fisher r-to-z transformation. The odd ratio of activity in brain areas other than the primary motor cortex among the migraine and control groups was analyzed with Fisher\u2019s exact tests. Significance was accepted at the level of 0.05 in all statistical analyses.As shown in As shown in The results of ANOVA analyses showed that the latency of MEFI following left finger movement was significantly affected by migraine (the group factor) but not age. The latency of MEFII following left finger movement was not significantly affected by either migraine or age (p>0.05). The latency of MEF1 following right finger movement was significantly affected by both migraine and age while the latency of MEFII following left finger movement was significantly affected only by migraine but not age. There was no significant interaction between group and age factors.In comparison to age-and-gender matched controls, the latencies of MEFI and MEFII responses (responding latency) elicited by left and right finger movements in children with migraine were significantly delayed (p<0.05). The quantitative measurements of the responding latency from finger movement in both children with migraine and controls are shown in The responding latencies in controls significantly correlated with age during the left finger movement , and the right finger movement . However, the responding latencies during left and right finger movement in the children with migraine did not significant correlation with age (p>0.05) . The difThere was no significant correlation between the responding latencies and the frequency of headache attack in the children with migraine (p>0.05).ANOVA analysis did not reveal significant effect of migraine and age factors on amplitude of MEFI and MEFII following right or left finger movement (p>0.05). There was no significant interaction between group and age factors in terms of the amplitude of MEFI and MEFII.In comparison to age-and-gender matched controls, there was no statistical difference in terms of the responding amplitudes from left finger movement or right finger movement. The quantitative measurements of the responding amplitude from both children with migraine and controls are shown in There was no significant correlation between responding amplitude from finger movement and age in both patients and controls (p>0.05). There was no significant correlation between responding amplitude and headache attack frequency in the patients (p>0.05).The MEG source imaging results were analyzed in an effort to determine the high gamma oscillations in the sensorimotor cortex . The higThe activation value elicited by right finger movement in the children with migraine was stronger than that in controls . The results of ANOVA analyses showed that the strength of activation value during left finger movement was significantly affected by migraine (the group factor) . The results of the present study have demonstrated that the abnormalities of motor function in children with migraine during headache attacks are noninvasively detectable using MEG and the abnormalities of motor cortical dysfunction can be characterized with the latency of MEFs evoked or elicited by finger movement One of the main findings in this study is that the positive correlation between responding latency and age in healthy children could not be found in children with migraine, showing the alteration of the developmental pattern in children with migraine compared with controls. The correlation efficient (or slope) differed between the two groups was also confirmed with the Fisher r-to-z transformation. Though aberrant brain activity in children with migraine during acute headache attacks has been found in the auditory, visual, and somatosensory systems It is unclear how migraine or headache attacks result in the delay of neuromagnetic response latency in the motor system in the developing brain. The aberrant latency observed in this study may be caused by the reductions in gray matter density in motor/premotor cortex Our results have demonstrated that neuromagnetic high gamma oscillation activation in children with migraine can be noninvasively measured with MEG. Our data have shown that high gamma (65\u2013150 Hz) oscillation activity is highly localized to the primary motor cortex in children with migraine and controls. The source locations indicated that these gamma oscillations were generated from the primary motor cortex that is consistent with previous reports Consistent with previous studies In conclusion, the abnormalities in the responding latency and source activation patterns suggest that there are neurophysiological changes in the motor cortices of children with migraine. The findings of this study may be helpful to further explore the underlying mechanisms of migraine and may facilitate the development of new therapeutic strategies in migraine treatment via alterations in cortical excitability. Recent reports have shown that normalization of cortical dysfunction may prevent and even cure migraine headache"}
+{"text": "Haemophilus influenzae (NTHi), a series of recent papers indicate that production and sensing of quorum signals are determinants of biofilm formation/maturation and persistence in vivo. In this mini-review I will summarize the current knowledge about quorum signaling/sensing by this organism, and identify specific topics for additional study.Quorum signals are diffusible factors produced by bacteria that coordinate communal responses. For nontypeable Bacterial quorum sensing involves community-dependent regulation of bacterial gene expression by means of soluble signal molecules that are released in a density-dependent manner , and highlight potential areas for future study.Quorum sensing has been shown to coordinate group activities among bacterial populations, including formation and maturation of biofilm communities in other strains would be predicted to only have the Rbs system for uptake, orthologs of the Lsr system associated with quorum signal uptake and sensing in other bacterial species are found in 3/18 strains; in one of these the Rbs transporter is not found. Notably, in 3/18 strains there were no predicted sequences for either transporter. Thus, the potential exists for significant mechanistic diversity in quorum signal uptake among different NTHi strains. We are currently addressing this important topic.More recently, the RbsB protein was shown to mediate uptake of DPD quorum signals for NTHi biofilms, recent work has demonstrated that NTHi quorum signals may impact Moraxella catarrhalis, an opportunistic pathogen that inhabits many of the same host environments within the airway. Growth of M. catarrhalis within a polymicrobial biofilm with nontypeable H. influenzae was shown to promote antibiotic resistance and persistence within the chinchilla infection model is a subject for additional study. All sequenced NTHi strains have homologs to the QseB/C two-component signaling system that mediates sensing of AI-2/DPD signals for some other bacterial species; the role of these factors in sensing of quorum signal by NTHi is not presently clear. Finally, generation of NTHi mutant strains in which AI-2 quorum signal may be artificially induced would be of great help not only in clarifying the direct linkage of quorum signal to biofilm formation/maturation but also in defining the consequences of quorum sensing for the bacterial population.While present data clearly establish the importance of quorum signaling/sensing for some NTHi infection is not universally accepted of biofilms in the persistence of NTHi bacteria in vivo. For example, prior to our demonstration of NTHi survival within neutrophil extracellular traps (NET; Hong et al., luxS mutants (Armbruster et al., Hi biofilms.It should also be pointed out that the relevance of biofilms for NTThe author declares that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Despite the relevance of screening and brief intervention (SBI) to the prevention of dental pathology, particularly with tobacco and at-risk alcohol use, there has been little attention to the determination of its effectiveness in dental settings. Further, most SBI research efforts have focused on the treatment of single risk factors despite the fact that use of psychoactive substances tends to co-occur. There is also debate about the optimal timing of interventions for multiple risk behaviors, i.e., whether to intervene simultaneously or sequentially. This study was designed to test the efficacy of SBI practices aimed at dental patients who were both smokers and at-risk drinkers. Participants (N = 288) were randomized into four experimental conditions to test the efficacy of comparative interventions for tobacco and at-risk alcohol use when delivered separately and in combined forms, and to compare the effects of sequential versus simultaneous interventions. The results indicated that individuals in each of three active brief intervention (BI) groups significantly reduced self-reported drinks per week and cigarettes per day compared with those in the wait-list control group. There was no advantage to the combined versus single-substance focused interventions as individuals changed both behaviors regardless of the treatment intervention received. No significant differences in self-reported drinks per week or cigarettes per day were found between those receiving simultaneous versus sequential interventions. These findings have implications for the design of BI aimed at multiple substance use and imply that no matter where a provider begins with respect to behavior-change focus, she or he may affect change in patients across multiple substance use behaviors."}
+{"text": "When we speak, we provide ourselves with auditory speech input. Efficient monitoring of speech is often hypothesized to depend on matching the predicted sensory consequences from internal motor commands (forward model) with actual sensory feedback. In this paper we tested the forward model hypothesis using functional Magnetic Resonance Imaging. We administered an overt picture naming task in which we parametrically reduced the quality of verbal feedback by noise masking. Presentation of the same auditory input in the absence of overt speech served as listening control condition. Our results suggest that a match between predicted and actual sensory feedback results in inhibition of cancellation of auditory activity because speaking with normal unmasked feedback reduced activity in the auditory cortex compared to listening control conditions. Moreover, during self-generated speech, activation in auditory cortex increased as the feedback quality of the self-generated speech decreased. We conclude that during speaking early auditory cortex is involved in matching external signals with an internally generated model or prediction of sensory consequences, the locus of which may reside in auditory or higher order brain areas. Matching at early auditory cortex may provide a very sensitive monitoring mechanism that highlights speech production errors at very early levels of processing and may efficiently determine the self-agency of speech input. Speaking includes the perception and monitoring of one's own speech for errors, which requires distinguishing self-generated acoustic signals from external signals The forward model framework applied to speech production suggests that a copy of speech motor commands (\u2018efference copy\u2019) allows for the prediction of sensory consequences of motor commands. This prediction is then compared to the actual sensory feedback, and mismatches between actual and predicted auditory signals are neurally encoded. Such a mismatch may occur in cases of speech production errors, but also when speech feedback quality is impaired. For example, this could be the case in a loud or noisy environment. For speech the comparison between predicted an actual verbal feedback makes it possible to distinguish our self-generated speech input from external speech, a function that is crucial for example in conversations.Brain imaging studies provide support for predictions of a forward model during speech production. Functional magnetic resonance imaging (fMRI) and positron emission tomography (PET) studies in human participants presented modulated verbal feedback by manipulating the pitch of speech Findings from neurophysiological recordings in monkeys A confound in this In the current fMRI study, we investigate whether a match of predicted and actual feedback indeed results in net inhibition and as a consequence in reduced activity during speaking. Furthermore, we investigate the specificity of the predictions of the motor commands. We used a parametric design of feedback masking to address these two issues. During picture naming, participants either listened to their self-generated speech or they watched pictures and listened to their own pre-recorded speech on-line while a noise mask was superimposed at different intensity levels. Intensity levels ranged from zero to a maximum level at which participants could no longer hear their own speech. We predicted that unmasked verbal feedback resulted in decreased auditory cortex activity compared to listening to prerecorded speech. We further predicted that activity of auditory cortex increased parametrically with decreasing quality of verbal feedback during speaking. Finally, we predicted that the parametric noise mask did not alter auditory cortex activity during listening to pre-recorded speech.Eleven healthy volunteers without any history of neurological or psychiatric disease participated in this study. They were right-handed according to the Edinburgh Handedness Inventory We used a 2 (task)\u00d74 (noise level) factorial blocked design see Figure 1The superimposed noise sound consisted of 1,500 ms of digital mono recording of pink noise . In the LIS conditions, the same pink noise recording was presented with the same timing as the PN conditions. Due to individual differences in voice and sensitivity to sound, the noise volume was determined separately for each participant before the actual scanning started. We adjusted the noise level in each individual subject based on an interactive procedure performed in the scanner before the actual experiment started. After being placed in the scanner, participants were asked to name pictures while the noise was played. The volume of the noise was gradually increased until participants reported they could no longer hear themselves. Noise intensity was set at a level such that the subject consistently reported not to hear his/her own voice. The final noise volume was taken as maximum noise level intensity (level3). Intermediate intensity levels were obtained by decreasing the maximum level with 10 (level2) and 15 dB SPL (level1). This procedure resulted in an approximate level of noise intensity of 102 dB SPL on average (measured outside the scanner room). Given the subjects' own reports, the levels of noise employed, the approximate volume of subjects' voice (40\u201350 dB SPL), we may conclude that the subjects could not hear themselves in the loudest noise condition, irrespective of bone conduction. We next gave example trials of both speaking and listening conditions without added noise and asked the participants, again using an interactive procedure to subjectively equate levels of their own spoken input and the presented speech. Apart from the different noise levels used, the experimental protocol was similar to the one used in Christoffels et al. Each experimental block consisted of five trials of one of the eight conditions and lasted 15 s. Experimental blocks were interspersed with a fixation block that lasted 15 s, in which a symbolic instruction was visually presented for 1,500 ms to cue the task in the upcoming experimental block at 12 s after fixation block onset. Conditions were presented in four functional runs. Each run consisted of 24 experimental task blocks that alternated with fixation blocks. There were three repetitions of each condition per run, adding to a total of twelve repetitions of each condition for each participant. The block order varied pseudo-randomly between runs and run order was counterbalanced across participants. In all conditions, trials started with the presentation of a fixation cross for 1,550 ms, followed by the presentation of a picture for 1,000 ms. We chose stimulus presentation timing in such a way that the picture onset was 450 ms before the onset of the quiet interval between volume acquisitions (see Imaging Parameters) because participants needed at least this time to generate the response. In the PN conditions, participants responded in the next 1,000 ms of silence before the next functional volume was acquired. Presentation of the 1,500 ms noise was synchronized to picture presentation, which therefore covered the quiet interval between volume acquisitions. In the LIS conditions, presentation of the auditory picture word started 700 ms after picture presentation . See During each functional run, a digital audio recording was made of the participants' verbal responses. The audio-recordings indicated that the responses were of the same volume across the PN conditions.The pictures comprised twenty simple white-on-black line drawings, which were presented equally often in each condition across runs. Pictures from the Max Planck Institute for Psycholinguistics database were selected for high name agreement . Picture names corresponded to mono- and bisyllabic words of relatively high word frequency . For the LIS conditions, picture-naming responses were recorded for each participant in a separate session in a soundproof booth prior to the scanning session. This resulted in 20 unique auditory stimuli, which were presented in all listening conditions: i.e., one recording for each picture , for each participant.Prior to the fMRI experimental runs, a localizer run was administered with two PN conditions (PN0 and PN3), using ten novel pictures not used in the main experiment. In other respects the localizer run was identical to the experimental runs.3). We used a sparse sampling procedure for functional data 3) were acquired using a T1-weighted 3D \u201cmodified driven equilibrium Fourier transform\u201d (MDEFT) sequence .Imaging was performed on a 3 Tesla head scanner located at the Maastricht Brain Imaging Center (M-BIC). Functional volumes were acquired using a T2*-weighted echoplanar sequence with blood oxygen level-dependent (BOLD) contrast using a 2-way stereo headset. The headset served as ear defender but did not prevent participants from hearing their own voice in unmasked feedback conditions. Prior to scanning the volume of the noise was set individually via the audio system. An audio recording of the participant's responses was made for each run with a microphone attached to the headset. The presentation of each trial was synchronized with MR data acquisition by using an MR pulse to trigger each trial. Recordings of the participants' responses were checked for correctness in the speaking conditions and for lack of any responses in listening conditions, which revealed no naming errors and a very small number of missing responses (0.49%). During debriefing participants consistently reported that they did not hear their own voice during the loudest noise conditions, confirming that noise masking was successful.3. Pre-processed and Talairach-normalized functional volume time-series were used for the statistical analysis.Anatomical and functional images were analyzed using BrainVoyager QX . The first four functional volumes of each run were discarded to take the T1 saturation effect into account. The pre-processing steps of the functional images included slice scan time correction (using sinc interpolation), three-dimensional (3D) motion correction to detect and correct for small head movements by spatially aligning the volumes of all functional runs of each participant to the first volume of the first experimental run, linear trend removal and temporal high-pass filtering to remove drifts of three or fewer cycles per time course For analysis of brain activity related to speech feedback we used a canonical hemodynamic response function in a general linear model (GLM) Second, we analyzed the time series of the experimental runs of the localizer-tagged voxels using a 2 (PN and LIS)\u00d74 two-level RFX GLM. In the first level of the analysis, we calculated the beta coefficients for the eight conditions for each participant. In the second level, we tested the parametric contrast of on the four levels of the PN condition across participants to specifically test for the predicted parametric pattern of decreasing BOLD signal amplitude with increasing quality of verbal feedback. Results were superimposed on the anatomical images and visualized using a Bonferroni-corrected threshold of p\u200a=\u200a0.05 to correct for multiple comparisons. We used a repeated measures analysis of variance (ANOVA) of the beta coefficients of the voxels that were significant for the contrast to test for the expected interaction between speaking and listening.3). Further, we found a second area in the right STG, located posterior to the first and in left STG at or close to Heschl's sulcus . The average amplitudes of the maximum-statistic voxel time-locked to the PN and LIS blocks across the four noise levels revealed the predicted parametric pattern (We also tested for the parametric effect in a whole-brain RFX analysis that was not restricted by the auditory cortex mask. We did not find any significant voxels for the parametric effect in this analysis.In the current study we parametrically manipulated feedback quality during self-generated and pre-recorded speech. We investigated the specificity of the predictions of the forward model of speech monitoring and assessed whether the consequences of a graded mismatch results in graded net inhibition or activation. We found that activity in early auditory cortical regions varied proportional to the parametric level of the noise mask during overt speech. The forward model prediction appears to be very specific. This suggests that modulation of cortical activity by the forward model may be a very sensitive mechanism, which may highlight even small speech production errors and may easily distinguish between self-generated speech and external speech.Modulation of activity in STG due to a feedback manipulation has been reported in previous studies We observed that only relatively small regions in the bilateral early auditory cortex responded to feedback parametrically. These regions are similar to the regions obtained by other studies using listening control conditions Our study revealed no parametric activity in brain areas outside of the auditory cortex. A number of previous monitoring studies did report activity in other brain areas when comparing normal versus altered feedback, such as the anterior cingulate cortex and supplementary motor area Our findings may have important implications for understanding speech-related deficits. For example, auditory activation by one's own voice in people who stutter has been found to be weaker compared to healthy control subjects An important implication of our study is that neurophysiological activity in auditory cortex is inhibited during unaltered speech feedback. Although we could not measure neurophysiological responses in our study, our results are consistent with electrophysiological recordings in humans and animals that showed inhibition of auditory neurons when listening to self-generated vocal sounds or speech In conclusion, using fMRI we were able to demonstrate a parametric attenuation of auditory cortex response in humans during overt speaking, visible as net reduction in BOLD response in auditory cortex. From our findings, it is clear that a forward model makes a very specific prediction of the expected self-generated auditory input resulting in neural cancellation in bilateral auditory cortex."}
+{"text": "Although domestic dogs play many important roles in rural households, they can also be an important threat to the conservation of wild vertebrates due to predation, competition and transmission of infectious diseases. An increasing number of studies have addressed the impact of dogs on wildlife but have tended to ignore the motivations and attitudes of the humans who keep these dogs and how the function of dogs might influence dog-wildlife interactions. To determine whether the function of domestic dogs in rural communities influences their interactions with wildlife, we conducted surveys in rural areas surrounding protected lands in the Valdivian Temperate Forests of Chile. Sixty percent of farm animal owners reported the use of dogs as one of the primary means of protecting livestock from predators. The probability of dog\u2013wild carnivore interactions was significantly associated with the raising of poultry. In contrast, dog\u2013wild prey interactions were not associated with livestock presence but had a significant association with poor quality diet as observed in previous studies. Dog owners reported that they actively encouraged the dogs to chase off predators, accounting for 25\u201375% of the dog\u2013wild carnivore interactions observed, depending on the predator species. Humans controlled the dog population by killing pups and unwanted individuals resulting in few additions to the dog population through breeding; the importation of predominantly male dogs from urban areas resulted in a sex ratios highly dominated by males. These results indicate that dog interactions with wildlife are related to the role of the dog in the household and are directly influenced by their owners. To avoid conflict with local communities in conservation areas, it is important to develop strategies for managing dogs that balance conservation needs with the roles that dogs play in these rural households. Dogs were domesticated over 14,000 years ago Our objective was to test whether the role and management of dogs influences the nature and frequency of dog-wildlife interactions. Using a survey of households in rural communities in Chile, we investigated the relationship between farm management practices and farmer-reported dog-wildlife interactions. In addition, the survey provided important information on dog management and demography, both relevant for improving dog population management in the future, particularly in wildlife conservation areas. By examining the role of dogs from a subsistence farming perspective, this study provides key insights into the role of the dog in farming and conservation. In so doing it elucidates the critical but socially sensitive tradeoff between dog as farm-protector and dog as wildlife threat.Oral informed consent was provided by an adult in each interviewed household in a standardized format. The general purpose of the survey was explained in Spanish to each research participant. Consent was obtained by having the interviewee state that they agreed to participate. The data was analyzed anonymously. The use of this survey and approach was approved by the Institutional Review Board at the University of Minnesota (1304E31141).The study area was located in the coastal range of the Chilean Temperate Forest between latitude 39\u00b041\u2032 S and 39\u00b058\u2032 S. Between 11 and 76 households were interviewed in 5 rural communities adjacent to three different protected areas see . The ecoPudu puda) and European hare (Lepus europaeus) and interference competition with the chilla fox have been reported Leopardus guigna), puma (Puma concolor), Molina\u2019s hog-nosed skunk (Conepatus chinga), lesser grison , southern river otter (Lontra provocax), marine otter (Lontra felina), coypu (Myocastor coypus), invasive American mink (Neovison vison) Lycalopex fulvipes) Free-ranging dogs are common in the study area, and both predation on the Southern pudu carnivores , referred to as dog-carnivore interaction, or b) herbivores or prey animals, particularly European hare and Southern pudus, referred to as dog-prey interaction. To assess the potential influence of the owner in the dog-carnivore interaction, we determined the percentage of dog owners who reported chasing off a particular predator species using dogs.We used generalized linear models with a logit link function to assess the probability of dog-carnivore and dog-prey interactions i.e. habitat composition around localities). Curi\u00f1anco (SITE) was used as the reference site because this locality was closest to the main city of Valdivia (We hypothesized that a higher number of dogs (DOGS) would increase the probability of dog-wildlife interactions at the household level. Site was used as a covariate because of differing proximity to urban areas at each locality to determine the relative support for a model given the data for the set of candidate models. To account for model selection uncertainty we averaged the estimates of the coefficients of the main effect variables across all candidate models. To determine the relative importance of the predictor variables we calculated the sum of the Akaike weights over all of the candidate models in which the parameter of interest appeared To determine significant predictors for dog-carnivore and dog-prey interactions we used an information-theoretic approach. Models were created with all possible combinations of the predictor variables. For model selection purposes we utilized the Akaike information criterion corrected for small sample size (AICc). We calculated Akaike differences (\u0394AICc) and weights (We interviewed 146 households (approximately 59.6% of estimated households); only two people did not agree to participate. Of respondents, 123 had dogs and provided information about dog demography and management . We obsen\u200a=\u200a27) from nearby towns or localities was a more important input to the population than recruitment (12.4% versus 6.4%), and most of these imported dogs were males (P\u22640.005), and more female dogs were neutered than males . Exceptions include lesser grison and coypu that were observed by only two and nine respondents, respectively. Dog-wildlife interactions during the previous year were reported for all species with theThe variables included in the best-ranked models (\u0394AICc <2) to explain the farmer-reported dog-carnivore interactions included POULTRY and DOGS. Averaged parameter estimate of presence of poultry in the household was positively associated with dog harassment and killing of carnivores see . AdequatAmong farm animal owners, the percentages of dog-carnivore interactions that were motivated by dog owners actively encouraging the dog to chase off a predator species were 75%, 62.5%, 38.9% and 25% for American mink, puma, fox and guigna, respectively. The only dog-prey interaction that was motivated by humans was the European hare, where 10% of the total interactions were encouraged by dog owners.This study investigated dog \u2013 wildlife interactions in the context of farm management and dog utility. In this study rural dogs were predominantly owned and free-roaming and their interactions with wildlife were significantly influenced by their role on the farm as well as by their management. Dogs appeared to interact with carnivores at the encouragement of their owners in the context of protecting livestock. In contrast, dog interactions with prey species were mostly undesirable from the farmer\u2019s perspective and seemed to be driven more by hunger and inadequate diet. The skewed dog sex ratio and high rate of externally-acquired dogs showed that the dog population was heavily managed by farmers, indicating a potential opportunity for informed interventions aimed at minimizing interactions with wildlife.Davlin and VonVille In our study we found that the farmer-reported interactions between dogs and wild animals were associated with their management and role on the farm. Interestingly, the models that best explained dog attacks on carnivores included poultry and the number of dogs, whereas the models that best explained interactions with prey included type of food provided and the number of dogs as the strongest predictors. Having a greater number of dogs seemed to be associated with a higher frequency of dog attacks on wild animals. This may be related to sampling effects or to pack hunting behaviors. Silva-Rodriguez and Sieving The fact that dog-prey and dog-carnivore interactions were predicted by different variables has important implications for wildlife conservation. Minimizing impacts on prey will require different dog management strategies compared to impacts on carnivores in communities surrounding wildlife sanctuaries. In terms of dog-carnivore interactions, dogs that belonged to households with livestock had a higher likelihood of interacting with carnivores. In these circumstances, the use of dog breeds selected specifically for certain behavioral traits (i.e. shepherd or guardian breed dogs) could potentially minimize wildlife-human conflict and retaliatory killing of wildlife. Domestic dogs have been used to guard livestock against predator attacks throughout recorded human history Apteryx australis) out of a population of 900 within a six-week period The situation with dog-carnivore interactions is in contrast to the situation with dog-prey interactions as identified in this study. Here, dog-prey interactions are correlated with food quality and, for the most part, are perceived by the dog owner as negative and distracting the dog from the primary function of livestock and homestead protector. These behaviors are clearly detrimental to wildlife populations. For example, a study in New Zealand documented a single German shepherd that was estimated to have killed approximately 500 kiwis in rural communities [7], [43Table S1Summary of model selection to estimate the probability of owned dog interactions with carnivores and prey species. Models are ranked by AICc values. Columns include the number of variables (K), Akaike\u2019s Information Criterion (AICc), distance from the lowest AICc (\u0394 AICc), and Akaike\u2019s model weight (\u03c9i).(DOCX)Click here for additional data file.Questionnaire S1Dog\u2019s owner questionnaire.(DOCX)Click here for additional data file."}
+{"text": "The development of tissue-engineered vascular grafts for use in cardiovascular surgery holds great promise for improving outcomes in pediatric patients with complex congenital cardiac anomalies. Currently used synthetic grafts have a number of shortcomings in this setting but a tissue engineering approach has emerged in the past decade as a way to address these limitations. The first clinical trial of this technology showed that it is safe and effective but the primary mode of graft failure is stenosis. A variety of murine and large animal models have been developed to study and improve tissue engineering approaches with the hope of translating this technology into routine clinical use, but challenges remain. The purpose of this report is to address the clinical problem and review recent advances in vascular tissue engineering for pediatric applications. A deeper understanding of the mechanisms of neovessel formation and stenosis will enable rational design of improved tissue-engineered vascular grafts. Tissue engineering offers a strategy for constructing autologous grafts and thereby increasing the pool of potential autografts for use as vascular conduits . Using tResearch groups have used a variety of different approaches to develop tissue-engineered vascular grafts (TEVG). Several methods are now in use in the lab and at various stages of clinical development. These include in vivo engineering of blood vessels, using explanted native vessels as a living scaffold for tissue engineering, a variety of biodegradable polymeric scaffolds onto which cell types can be seeded, and scaffold-free approaches -9. The iScaffold materials must not only be biodegradable and non-immunogenic, but also must provide space for cell attachment while allowing for appropriate structural integrity until neotissue can form. Standard approaches involve the use of polymers of polyglycolic acid (PGA), polylactic acid (PLA), and poly e-caprolactone (PCL) in varying concentrations to meet the compliance specifications of the vascular system into which the graft is being introduced ,11. ElecMany cell types have been considered as possibilities for seeding vascular grafts ,15. SomeBone marrow mononuclear cells have been found to be a useful cell source as they are readily available from patients by means of bone marrow aspiration. There are several different approaches for purifying mononuclear cells from the bone marrow. The traditional approach has involved Ficoll centrifugal separation based on cell mass, but this takes several hours. A newer approach involves using a specially designed filter to separate out cells of a particular size . AlternaAlternative cell sources that might provide additional benefits include embryonic stem (ES) cells or induced pluripotent stem (iPS) cells, the latter offering a new autologous approach to developing pluripotent cells -19. All The traditional approach to placing cells on a scaffold for TEVG creation is static cell seeding, in which the patient's cells are pipetted directly onto a graft before being given several hours to attach. There are a number of recognized shortcomings of the static seeding method, including lower efficiency and inter-operator variability. A number of alternatives have been proposed, including dynamic, magnetic, vacuum, electrostatic, and centrifugal seeding . The leaIt will be important to have a deeper understanding of the mechanisms of neotissue formation and stenosis for an upcoming FDA approved clinical trial that is to be initiated at Yale School of Medicine to investigate the use of TEVGs in pediatric patients ,24. The Despite major advances in medical and surgical treatment, congenital heart disease (CHD) remains the leading cause of death due to congenital anomalies in the newborn period . Single An important cause of complications in EC TCPC is the conduit used to connect the inferior vena cava (IVC) to the pulmonary artery . Much ofBased on the success of animal studies, Shinoka performed a pilot clinical study in Japan in 2001 to evaluate the feasibility and safety of using TEVG as conduits for EC TCPC in patients with single ventricle cardiac anomalies -42. TwenComplications arising from the use of currently available synthetic vascular grafts are a leading cause of morbidity and mortality after congenital heart surgery . The lacIn order to better study the mechanisms of TEVG formation and stenosis in vivo, mouse models have been developed to recapitulate the results of the human trial. This approach includes a method for constructing sub-1 mm tubular scaffolds similar to the scaffold used in the clinical trial . These sA series of time course experiments using ovine and canine models demonstrated the stepwise morphologic changes and graft growth that occur when a seeded scaffold is implanted as a vascular interposition graft -6,49. ThExtensive histological and immunohistochemical (IHC) characterization has been performed to show the changes in TEVG over time in a murine model and these have documented the natural history of neovessel formation, the process of developing from a biodegradable tubular scaffold seeded with BM-MNC into a vascular conduit that resembles a native blood vessel. Six-months after implantation, the resulting neotissue possesses an internal monolayer of endothelial cells surrounded by inner smooth muscle layers, and an organized extracellular matrix. Some groups have hypothesized that stem cells within the bone marrow cell population differentiate into the cells of the neotissue . HoweverBased on these preliminary studies it has been hypothesized that seeded cells exert their effect via a paracrine mechanism by releasing chemokines that recruit host cells to the scaffold. These host cells are then critical for vascular neotissue formation and promote outward remodeling to maintain graft patency. IHC characterization demonstrated that the TEVG were initially infiltrated by host-derived monocytes and macrophages. Based on quantitative IHC data a correlation was noted between degree of early inflammatory response and graft patency. Specifically, the seeded grafts had significantly more macrophages in the early period compared to unseeded vascular grafts, suggesting that macrophage recruitment may be important in the process of promoting outward remodeling during neovessel formation. IL-1\u03b2 and MCP-1 were found to be produced in abundant quantity. Studies have been conducted on TEVG seeded with BM-MNC from either MCP-1 knockout mice or wild-type. These TEVG implanted into a SCID-beige vascular interposition graft model revealed that TEVG seeded with MCP-1 knockout BM-MNC developed significantly more wall thickening and luminal narrowing, suggesting that MCP-1 plays a critical role in inducing outward remodeling. Alginate microspheres were created and incorporated into the wall of the scaffold to provide controlled release of MCP-1. A study using this scaffold showed that an MCP-1 eluting scaffold can inhibit stenosis in the absence of BM-MNC seeding. These studies suggest that BM-MNC scaffolds transform into functional vessels by means of an inflammation-mediated process of vascular remodeling Figure 48]..48].According to this model, the seeded BM-MNC attach to the scaffold and begin to release MCP-1. Once implanted as an IVC interposition graft, MCP-1 recruits host monocytes, which infiltrate the scaffold and begin to direct or participate in vascular neotissue formation. This remodeling ultimately results in the formation of neovessels composed of a concentric layers of smooth muscle cells recruited from the neighboring native vessel wall embedded in an extracellular matrix with a monolayer of endothelial cells lining the luminal surface . Recent The findings of Shinoka's clinical trial in Japan are encouraging but also point to some of the possible issues with the use of vascular grafts in the pediatric population. Translational research groups can now return to animal models in the lab to improve TEVG outcomes . FurtherBM-MNC: Bone marrow mononuclear cells; CHD: Congenital Heart Disease; EC TCPC: Extra Cardiac Total Cavopulmonary Connection; IVC: Inferior vena cava; TEVG: Tissue-engineered vascular graft.CKB receives research funding from Gunze Ltd, the company that manufactured the scaffolds for the clinical trial. None of the funding for the work done in this manuscript was provided by Gunze Ltd.DRD and CKB both reviewed the literature and drafted the manuscript. Both authors read and approved the final manuscript.DRD is a Howard Hughes Medical Institute Medical Research Training Fellow and CKB is an Associate Professor of Surgery and Pediatrics and the Director of Tissue Engineering at Yale University School of Medicine."}
+{"text": "The male genital tract is suspected to constitute a viral sanctuary as persistent HIV shedding is found in the semen of a subset of HIV-infected men receiving effective antiretroviral therapy (HAART). The origin of this persistent shedding is currently unknown. Phylogenetic studies indicated that HIV in semen from untreated men arises from local sources and/or passive diffusion from the blood. We previously demonstrated in human and macaque low levels and localized infection of several semen-producing organs by HIV/SIV. Using a macaque model, this study investigates the impact of short term HAART (2\u20134 weeks) initiated either during the asymptomatic chronic stage or 4 h post-intravenous inoculation of SIVmac251 on the infection of male genital organs.in situ hybridization, SIV RNA+ cells were detected in all male genital tract organs from untreated and treated animals with undetectable blood viral load following HAART. Infected CD68+ myeloid cells and CD3+ T lymphocytes were detected pre- and post-HAART. In contrast, short term HAART initiated 4 h post-SIV exposure led to a drastic decrease of the male genital tissues infection, although it failed to prevent systemic infection. In both cases, HAART tended to decrease the number of CD3+ T cells in the male organs.Short term HAART during the chronic stage decreased blood viral load. No major impact of HAART was observed on SIV DNA levels in male genital organs using a sensitive nested PCR assay. Using Our results indicate that the established infection of male genital organs is not greatly impacted by short term HAART, whereas the same treatment during pre-acute phase of the infection efficiently impairs viral dissemination to the male genital tract. Further investigations are now needed to determine whether infection of male genital organs is responsible for long term persistent HIV shedding in semen despite HAART. Highly active antiretroviral therapy (HAART) significantly improved the clinical outcome among HIV-infected patients, leading in most patients to undetectable viremia (i.e. <50 copies/ml). Nonetheless, viral eradication is not achieved as HIV continues to replicate at low level in several tissues or remains under a latent form in several cellular and anatomical sites, called viral reservoirs. The male genital tract (MGT) is suspected to constitute such a pharmacological sanctuary or reservoir. Indeed persistent shedding of HIV RNA and infectious particles is detected in the semen of a subset of chronically-infected men under prolonged effective HAART in vivo due to the low level and localized nature of this infection Although the importance of tissue sanctuaries is being increasingly recognized Macaca fascicularis) were imported from Mauritius Island and housed in the facilities of the Centre d'Energie Atomique (CEA) . Non-human primates (NHP) are used at the CEA in accordance with French national regulation and CEA facilities are fully authorized under the number B-92-032-02 for animal use and under the number 2005-69 for NHP breeding. These facilities are regularly inspected by national veterinary inspectors. The CEA is in compliance with ETS123 recommandations, Directive 86/609/CEE guidelines for animal breeding and with Standards for Human Care and Use of Laboratory Animals . NHP are daily fed and inspected by animal caretakers who report directly to the veterinarians in charge of the animal facilities and animal welfare. The head of the veterinarian staff is empowered to interrupt the protocol in case of animal pathology or suffering. It should be stressed that none of the animal were specifically used for this work, since the male genital organs were collected at necropsy from animals that were euthanized in the course of other studies in vitro or in vivo) are suitable for the aims of the project (recommendation n\u00b01); the study is in the field of infectious diseases (recommendation n\u00b02); NHP are breed following the recommendation of the ETS123 and in accordance with the newly published European Directive (2010/63) (recommendation n\u00b09). The animals were used under the supervision of the veterinarians in charge of the animal facility and the protocols employed were reviewed by the Ethical Animal Committee of the CEA . The protocols and the use of male genital organs for the purpose of the work described herein were approved by the Ethical Animal Committee of the CEA under the number 11-005. The animals were sedated with ketamine chlorydrate , before virus injection, blood sample collection, and before receiving treatment, as previously described 20 adult male cynomolgus macaques and PBMC-associated viral loads were assessed at several time points as previously described Total DNA and RNA were extracted from 2 distinct fragments of each tissue using RNeasy isolation kit or the QIAamp DNA Blood mini kit , respectively. RNA samples were depleted of contaminating DNA by DNase treatment and submitted to reverse transcriptase reactions, using random hexamer primers and M-MLV-Reverse Transcriptase to generate cDNA. Total DNA from PBMCs was isolated using a commercial kit .et al5\u2032:CCTCCTCCAGGACTTGCATA and TatrevR1 5\u2032: CTGTTGATGACTGCCCGATA). A second nested PCR amplification (40 cycles) was performed with 3 \u00b5L amplimer and inner primers TatrevF2 5\u2032:GCAGCAATCCATATCCACAG and TatrevR25\u2032: GAGGGTCAGGCAGATGTTGT.A previously described sensitive nested PCR The following human mAbs and matching isotype controls were used at the indicated concentrations: anti-HLA-DR , anti-CD68 , anti-CD3 , anti-CD4 , anti-TIA-1 , with mouse IgG1 isotype control (Dako); anti-CD20 , with mouse IgG2a control (BD Biosciences). Immunohistochemistry was performed as previously described 35S-UTP-labeled riboprobe for the gag region of SIVmac251 Formalin-fixed, paraffin-embedded tissues were assayed for SIV RNA expression by radioactive and non radioactive ISH, using previously described The significance of the differences between values was evaluated using the appropriate non parametric test, as specified in the text or the figure legends. P<0.05 was considered statistically significant. Statistical analyses were performed using commercially available software .The pharmacokinetics of the three antiretroviral drugs used in the present study were previously assessed in blood plasma and PBMCs from cynomolgus macaques In situ hybridization for SIV gag RNA using either 35S or digoxygenin labeled riboprobes revealed positive cells in all the MGT tissues from both untreated and treated animals had to be undertaken for all the male genital organs in order to measure the number of SIV+ cells. In accordance with the findings on viral DNA and with our previous findings on primary-infected macaques animals . The senTo determine the nature of the infected cells, co-localization of SIV RNA+ cells with cell markers (CD3 for T lymphocytes and CD68 for myeloid cells) was performed. A mix of CD3+ and CD68+ infected cells was observed in MGT tissues from untreated animals, as we previously described In agreement with our published data We previously showed that AZT/3TC/IDV combination initiated 4 h post-intravenous inoculation of SIV and maintained for 4 weeks does not prevent systemic infection, although in all treated animals it prevents the peak blood viral load in vitro and in vivoThis study is the first to investigate the effect of HAART on the infection of semen-producing organs during chronic or acute stage. A number of observations in HIV+ men (reviewed in Persistent HIV shedding in semen has been shown to occur for a wide range of HAART regimens, including those based on the latest molecules, irrespective of the seminal concentrations achieved by the drugs Our results reveal that following 2 to 4 weeks administration of AZT/3TC/IDV during chronic stage, viral DNA and SIV RNA+ cells are still detected in the testis, epididymis, prostate and seminal vesicle of treated macaques with decreased systemic infection. Although precise quantification was hampered by the low level and focal nature of the infection, we did not observe any major impact of HAART on MGT organs infection. This contrast with our previous findings of a strong decrease of both viral DNA and RNA in the colon following the same HAART regimen and duration in situ hybridization for SIV and immunohistochemistry for cell markers, we confirmed the presence of infected macrophages and T lymphocytes in the MGT organs of untreated animals. In treated animals, both infected macrophages and lymphocytes were also detected. Despite our extensive screening of a large number of tissue sections, the relative proportion of infected macrophages and T lymphocytes could not be assessed, as accurate quantification was impaired by the low number of infected cells detected. However, the fact that productively infected CD3+ T cells were still detected at the end of the 4 week treatment period, and that the SIV DNA levels and SIV RNA+ cell number did not appear to be affected by the treatment, suggest that poor penetration of the antiretroviral drugs may also be a factor. Whether a longer and intensified treatment has more impact on male genital organs infection in our model will be tested in forthcoming experiments.The persistent detection of SIV nucleic acids in the genital organs of the treated macaques observed in our study could be due to either the existence of infected cells that would keep producing virus in the face of optimal drug concentrations during the 2\u20134 week period, or to low drug penetration in the organs. Unlike productively-infected CD4+T lymphocytes which are short-lived and usually rapidly eliminated following HAART In men receiving HAART, drastic decreases in both blood and seminal viral loads are usually observed within one month post treatment initiation versus untreated animals. This reduction did not appear to be linked to the organ infection levels, as the latter were not significantly different before/after treatment and between the organs. Therefore, we hypothesize that the reduced number of inflammatory infiltrates in MGT tissues may represent reduced systemic immune activation and T cell migration, in association with the lower blood viral loads in the treated animals Migration of T cells to non lymphoid tissues following virus-driven T lymphocytes expansion is a feature of chronic viral infection We previously reported that 2 weeks post intravenous inoculation, SIV infected all MGT organs of cynomolgus macaques and that the viral load in MGT organs during the acute stage was much higher than during the chronic stage In humans and macaques infected through sexual routes, productive systemic infection begins around 10 days following amplification at transmission site and in local lymphoid tissues In conclusion, we showed for the first time that short term HAART has no major effect on the infection of MGT organs when initiated during the chronic stage, whereas post-exposure treatment drastically decreases their infection. These results indicate that persistent HIV shedding in men receiving HAART with undetectable blood viral load may arise from viral production in several semen producing organs. Our work opens several perspectives. Studies on longer treatment duration, intensification and measurement of antiretroviral drugs in male genital organs are now needed to assess whether the MGT constitutes a long term reservoir. In addition the comparison of viral load and strains in semen with that in male genital organs during HAART will be crucial to decipher further the origin of HIV persistence in semen. These issues are currently under investigation in our laboratory."}
+{"text": "Threading of DNA through the central channel of a replicative ring helicase is known as helicase loading, and is a pivotal event during replication initiation at replication origins. Once loaded, the helicase recruits the primase through a direct protein\u2013protein interaction to complete the initial \u2018priming step\u2019 of DNA replication. Subsequent assembly of the polymerases and processivity factors completes the structure of the replisome. Two replisomes are assembled, one on each strand, and move in opposite directions to replicate the parental DNA during the \u2018elongation step\u2019 of DNA replication. Replicative helicases are the motor engines of replisomes powered by the conversion of chemical energy to mechanical energy through ATP binding and hydrolysis. Bidirectional loading of two ring helicases at a replication origin is achieved by strictly regulated and intricately choreographed mechanisms, often through the action of replication initiation and helicase-loader proteins. Current structural and biochemical data reveal a wide range of different helicase-loading mechanisms. Here we review advances in this area and discuss their implications. The ability to replicate is a universal characteristic of all living organisms. To produce descendants that are exact copies of the parental cell, the genetic information must be copied and transmitted from generation to generation. With the exception of a few viruses, the DNA double helix is the carrier of genetic information within the nucleotide sequences. Separation of the two strands by ubiquitous replicative DNA helicases reveals the parental nucleotide sequences for DNA polymerases to copy into new strands. Replicative helicases are closed ring structures with single DNA strands threaded through the ring during replication initiation via a process known as helicase loading. Although the problem of threading a very long linear DNA molecule through a circular helicase ring is fundamentally the same in all living organisms, a remarkable variety of loading mechanisms have evolved utilizing the basic principles of ring opening or ring assembly. Here we review recent advances in our understanding of helicase loading mechanisms in different organisms . We discoriC) where specialized replication initiator proteins bind to cause local melting of the DNA double helix and enable the loading of ring helicases. Replication initiators from all domains of life belong to a group of proteins known as AAA+ (ATPases Associated with various cellular Activities) proteins prevents the formation of an active nucleoprotein complex, suggesting its importance in DnaA filament formation (E. coli) reduces the ATPase activity but does not prevent DnaA-ATP oligomerization , within the oriC. Recent structural data revealed that the DnaA filament can also wrap around single-stranded DNA using a continuous network of alternating \u03b13/\u03b14 and \u03b15/\u03b16 helices within the central cavity of the filament to load the replicative helicase DnaC (not to be confused with the E. coli helicase-loader DnaC) in a two-protein strategy domains presenting an ATP-bound active site in the open state, defined as the ATP-end, and the opposite end of the filament terminates with a protein molecule presenting the arginine finger of Box VII, defined as the R-end binding site in the E. coli oriC interrupts the series of DnaA binding boxes and likely disrupts the formation of a contiguous DnaA filament within the oriC extending through into the DUE, as suggested in the A. aeolicus helicase loading mechanism or a spiral DnaC structure is not essential for DnaB ring opening.The A strand . This is hexamer and therG. kaustophilus helicase-loader DnaI SV40 (Simian Virus 40) DNA helicase has been suggested to function as a dodecamer (Origin-Binding Domain) domains, N-terminal relative to the helicase domain. OBDs bind to four pentanucleotide repeats within the SV40 core ori sequence at its N-terminus and the DNA-Binding Helix (DBH), that individually bind only one of the two strands. The DBL extensively interacts with the DNA while the DBH has more limited interactions with the DNA and dissociates during strand separation. The DBDs also combine with a DNA-binding activity residing on the helicase domains to melt the ori and load two head-to-head hexamers each encircling the opposite strand and Cdc6 directed loading of archaeal and eukaryotic MCM double hexamers, the underlying loading mechanism of MCM is drastically different (reviewed in Xenopus egg extracts (Ring helicases often form head-to-head double hexamers (dodecamers) and some reports suggest that the dodecamer is the functional oligomer. One such helicase is the eukaryotic MCM replicative helicase. Although the formation of a dodecamer during SV40 LTag and E1 loading is reminiscent of the ORC different architectures of replication origins requiring either specialized sets of different loading proteins or no loading proteins at all, (ii) subtle differences in helicase structures and mechanisms often associated with additional activities such as primer synthesis during replication, (iii) strict regulatory requirements to comply with complex life cycles, or (iv) genome economy when additional genes coding for accessory loading proteins need to be eliminated."}
+{"text": "Alternative splicing is a highly regulated process that greatly increases the proteome diversity and plays an important role in cellular differentiation and disease. Interactions between RNA-binding proteins (RBPs) and pre-mRNA are the principle regulator of splicing decisions. Findings from recent genome-wide studies of protein\u2013RNA interactions have been combined with assays of the global effects of RBPs on splicing to create RNA splicing maps. These maps integrate information from all pre-mRNAs regulated by single RBPs to identify the global positioning principles guiding splicing regulation. Recent studies using this approach have identified a set of positional principles that are shared between diverse RBPs. Here, we discuss how insights from RNA splicing maps of different RBPs inform the mechanistic models of splicing regulation. Technological advances in the past decade have created the unprecedented ability to explore alternative splicing in a genome-wide manner. As the depth of analysis has increased, the estimated proportion of human genes that produce alternative mRNA isoforms has increased, from 35% in 1999 Down syndrome adhesion molecule (Dscam) transcript in Drosophila melanogasterDscam transcript, which contains three clusters of 12, 48 and 33 mutually exclusive exons that can theoretically generate 38016 different alternative isoforms. A small molecule binding to an RNA riboswitch affects alternative splicing in the fungus Neurospora crassa by inducing changes in pre-mRNA structure There are many ways to regulate alternative splicing. RNA\u2013RNA interactions between distal sites are important for the regulation of mutually exclusive exons of the Genome-wide studies play a key role in understanding the regulation of alternative splicing in disease and normal physiology. Initial bioinformatic studies have identified putative regulatory RNA motifs by comparing exons with different splice site strengths in vivo splicing regulation have also been identified experimentally. Even though these elements most often map to intronic regions that are rapidly degraded upon splicing completion, they can be identified by the analysis of protein\u2013RNA interactions using UV crosslinking and immunoprecipitation silence exon inclusion by antagonising the SR proteins To understand the general principles of splicing regulation, it is necessary to identify protein\u2013RNA interactions with high resolution in a genome-wide manner. However, a single genome-wide data set rarely provides significant insight into splicing regulation on its own. Partly, this is because protein-binding sites are most often located far from alternative exons, as shown by the first analyses of Nova\u2013RNA interactions using CLIP The success of genome-wide studies lies in the integration of multiple, independent data sets Studies of the polypyrimidine tract-binding protein (PTB) illustrate the need for independent protein\u2013RNA interaction and splicing data sets when building RNA splicing maps. Initially, CLIP data were used to identify interaction sites and select target exons to collect splicing data by RT-PCR analysis. This RNA splicing map indicated that PTB primarily silences exon inclusion when bound downstream of exons Drosophila orthologue of Nova, shows that position-dependent regulatory effects are highly conserved The similarity of the RNA splicing maps of the mouse Nova and of Pasilla, the The RNA splicing maps of hnRNP C and TIA proteins appear more restricted than other RBPs. hnRNP C exclusively silences exon inclusion when binding near the alternative exon a. By conTIA proteins enhance exon inclusion when binding downstream of alternative exons, with no evidence for silencing when binding to other sites near the alternative exons in vitro and in vivo analysis of introns that require hnRNP A1 or hnRNP H for efficient splicing showed that these proteins need to bind both ends of the intron to stimulate splicing The Heterotypic interactions between hnRNP A1 and hnRNP H could stimulate splicing by promoting RNA looping What do the common principles identified by RNA splicing maps tell us about the mechanisms of splicing regulation? The RBPs that share positional principles are not homologous to each other. Often they bind RNA with different domains such as KH in Nova, zinc finger in Mbnl and RRM in the other RBPs discussed above. The silencing effects, when binding near the branch point, splice sites or within the exon, could be explained by competition with core spliceosome components or SR proteins Further analyses of RNA splicing maps and other RBPs are likely to identify global, position-based splicing effects that differ from those determined so far. For example, SR proteins enhance exon inclusion by binding within the exon Above, we discussed the splicing effects of RBP binding sites proximal to alternative exons. The analysis of CLIP data and RNA splicing maps also suggests that RBPs can regulate splicing when binding only at positions distal to alternative exons Recently, TIA proteins, like Nova proteins, were found to silence exon inclusion when binding to the preceding exon Splicing decisions result from the integration of multiple variables, primarily changes in the expression of RBPs, changes in RBP activity because of signalling pathway-induced post-translational modifications The recruitment model proposes that certain splicing regulators, particularly those containing arginine-rich, positively charged regions (such as SR proteins), bind the hyperphosphorylated, negatively charged C-terminal domain of elongating RNA polymerase II (Pol II CTD) FOS gene Chromatin immunoprecipitation experiments have shown that the treatment of formaldehyde crosslinked cell lysate with RNase releases SR proteins from the E1a gene Finally, the splicing kinetics model proposes that the temporal window available for RBP assembly on nascent transcripts can affect splicing choice. This temporal window is determined by the kinetics of transition from the H to A splicing complexes. This model was first proposed to explain the effect of an elongation-defective mutant of RNA Pol II on the splicing of alternative 5\u2032 splice sites in the adenovirus Nova1\u2013/\u2013 Nova2\u2013/\u2013 brains have shown that the splicing effects of Nova proteins are restricted to the intron containing the Nova-binding sites To conceptualise how RBP binding at different positions affects splicing decisions, we can consider the splicing decision as a competition between commitment to three possible splicing pathways: exon skipping, upstream intron splicing and downstream intron splicing. The upstream and downstream intron splicing pathways both lead to exon inclusion. Splicing intermediates in Asymmetric splicing decision making could play a role in the previously described models. For instance, slow transcriptional elongation promotes the splicing of the downstream intron of fibronectin exon 33 We have discussed how understanding the global principles behind the regulation of alternative splicing can provide insights into the mechanisms of splicing regulation. To date, RNA splicing maps have only been determined for individual RBPs. It is clear, however, from individual alternative exons that their splicing is regulated by multiple RBPs acting either competitively or cooperatively The development of RNA splicing maps from the combination of genome-wide protein\u2013RNA interaction data with splicing profiles has allowed broad, position-based principles for splicing regulation to be inferred for a few RBPs. As the resolution and quantitative capacity of these methods improves with the development of iCLIP and RNA-seq, the ability to define these rules becomes more precise. At the same time, precise definition of these rules will help identify exons and RBPs that deviate from the basic splicing models. These deviations will help us better understand how multiple variables contribute to the regulation of splicing. To understand such integrated regulation, RNA splicing maps will need to be combined with analyses of other variables that contribute to alternative splicing decisions, such as splicing kinetics, transcriptional elongation speed, chromatin, the post-translational modifications of RBPs, RNA structure and the interactions of pre-mRNA with other noncoding RNAs. Finally, biochemical and kinetic studies of the insights gained from genome-wide analyses will be required to fully understand the mechanisms of splicing regulation."}
+{"text": "In clinical practice, out-toeing is often linked with an increased eversion and an increased medial pressure distribution. However, in the literature, there is little evidence for this relationship. On the other hand, as an increased eversion and an increased medial pressure distribution have been detected as risk factors for exercise-related lower leg pain (ERLLP) ,2, and i3D gait kinematics combined with plantar pressure profiles were collected from 400 healthy physical education students. After this evaluation, all sports injuries were registered by a sports physician during 3 years. Relationship between foot progression angle and the amount of eversion and the medio-lateral pressure distribution were tested with Pearson correlation. Cox regression analysis was used to investigate the effect of the foot progression angle on the development of ERLLP.R=.121) and the medio-lateral pressure distribution (R=.116). Cox regression analysis showed no significant differences for the foot progression angle between the injured and uninjured subjects.Forty-six subjects developed ERLLP and 29 of them developed bilateral symptoms thus giving 75 symptomatic lower legs. Bilateral lower legs of 167 subjects who developed no injuries in the lower extremities served as controls. Pearson correlation showed no significant correlation between the foot progression angle and the eversion excursion (The findings of this study suggest that the foot progression angle is not a risk factor for ERLLP as the foot progression angle is not related to the amount of eversion and the medio-lateral pressure distribution."}
+{"text": "Complex intervention guidance advocates pilot trials and feasibility studies as part of a phased approach to development, testing and evaluation of healthcare interventions. In this paper an example of a feasibility study and pilot trial for a randomised controlled trial (RCT) of pelvic floor muscle training for prolapse is used to explore challenges for progression to main trial.A four-centre feasibility study including pilot trial aiming to randomise 50 women with prolapse of any type or stage and who had had a pessary successfully fitted. We used published methodological categories to classify and analyse the problems that arose in our feasibility study. Subsequently we sought to locate potential solutions that might minimise the trade-off between an explanatory and pragmatic main trial.Algorithm for Decision-making after Pilot and feasibility Trials) which we subsequently used as a guide. The algorithm sought to: 1) encourage systematic identification and appraisal of problems and potential solutions; 2) improve transparency of decision-making processes; and 3) reveal tensions that exist between choices which lead to a pragmatic versus explanatory trial.The feasibility study pointed to significant potential problems in relation to participant recruitment, features of the intervention, acceptability of the intervention to participants and outcome measurement. Finding minimal evidence to support our decision-making regarding the transition from feasibility work to a trial, we developed an algorithm (ADePT; We have developed a decision-support tool that may aid future researchers to identify the most appropriate solutions to problems identified within pilot and feasibility studies."}
+{"text": "Recently introduced targeted drug delivery systems induce viral lytic gene expression and therefore require more sensitive method to quantify viral as well as cellular gene expression.Epstein Barr Virus (EBV) plays a significant role as a cofactor in the process of tumorigenesis and has consistently been associated with a variety of malignancies. EBV encoded RNAs (EBER1 and EBER2) are the most abundant viral transcripts in latently EBV-infected cells and their role in viral infection is still unclear. Formalin Fixed Paraffin Embedded (FFPE) tissues of surgically removed carcinoma biopsies are widely available form but have never been exploited for expressional studies previously in Pakistan. Immunohistochemistry (IHC) and Eight (8) lymphoma samples were screened to detect the EBV genome. Qualitative and quantitative expression of EBV Encoded RNAs and anti-inflammatory cytokine (interleukin-10) in FFPE EBV positive lymphoma tissue samples were then analysed by using Reverse transcriptase Polymerase Chain Reaction (RT-PCR) and Real Time Polymerase Chain Reaction (qRT-PCR), respectively.In this study we have successfully quantified elevated expressional levels of both cellular and viral transcripts, namely EBER1, EBER2 and anti-inflammatory cytokine (IL-10) in the FFPE Burkitt's lymphoma (BL) specimens of Pakistani origin.These results indicate that FFPE samples may retain viral as well as cellular RNA expression information at detectable level. To our knowledge, this is first study which represents elevated expressional levels of EBER1, EBER2 and IL-10 in FFPE tissue samples of Burkitt's lymphoma in Pakistan. These observations will potentially improve current lacunas in clinical as well as diagnostic practices in Pakistan and can be further exploited to develop new strategies for studying cellular and/or viral gene expression. Epstein-Barr virus (EBV) is a ubiBamHIA region of the viral genome namely BART transcripts .The amplified product was purified by using PureLink\u2122 Gel Extraction Kit according to the manufacturer's instructions. The purified product was sequenced by using Genetic Analysis System Beckman Coulter (CEQ-8000 USA). These sequences were published in Genbank, EMBL and DDBJ viral RNAs from the FFPE Burkit's lymphoma tissue samples. These results positively suggest the use of FFPE samples for research, more prominently in viral RNA profiling studies. In addition to that, we have also developed a real time PCR based assay in which a novel comparison of viral and cellular RNA is illustrated lymphoma tissues. These results suggested that RNA isolated from FFPE samples preserve the majority of the characteristic expression. In addition to that elevated expression of anti-inflammatory cytokine (IL-10) was observed in the EBV+ (positive) samples in comparison with EBV- samples (undetectable or negligibly low levels of expression) which indicate its relevance with viral persistence in EBV transformed tumour cells. These studies will open novel avenues to study cellular and/or viral gene expression and will introduce new biomarkers and strategies to improve clinical as well as diagnostic practices in Pakistan.Expression of both viral RNA and cellular RNA are significantly high, in comparison with normal EBVThe authors declare that they have no competing interests.TIS have contributed to the conception, design, acquisition, analysis and interpretation of data and have been involved in drafting the manuscript as well as revising it critically for important intellectual content to be published and have given final approval of the version to be published.IQ has contributed to the critical revision of important intellectual content and has given final approval of the version to be published as well as provided supervision during this work."}
+{"text": "To make sense out of gene expression profiles, such analyses must be pushed beyond the mere listing of affected genes. For example, if a group of genes persistently display similar changes in expression levels under particular experimental conditions, and the proteins encoded by these genes interact and function in the same cellular compartments, this could be taken as very strong indicators for co-regulated protein complexes. One of the key requirements is having appropriate tools to detect such regulatory patterns.We have analyzed the global adaptations in gene expression patterns in the budding yeast when the Hsp90 molecular chaperone complex is perturbed either pharmacologically or genetically. We integrated these results with publicly accessible expression, protein-protein interaction and intracellular localization data. But most importantly, all experimental conditions were simultaneously and dynamically visualized with an animation. This critically facilitated the detection of patterns of gene expression changes that suggested underlying regulatory networks that a standard analysis by pairwise comparison and clustering could not have revealed.The results of the animation-assisted detection of changes in gene regulatory patterns make predictions about the potential roles of Hsp90 and its co-chaperone p23 in regulating whole sets of genes. The simultaneous dynamic visualization of microarray experiments, represented in networks built by integrating one's own experimental with publicly accessible data, represents a powerful discovery tool that allows the generation of new interpretations and hypotheses. In the current post-genomic era, an increasing amount of data is generated by the application of high-throughput technologies. Expression profiling analyses using DNA microarray approaches are extensively used to study global changes in gene expression patterns of multiple cell types and tissues under different conditions. Moreover, there are publicly accessible databases containing the experimentally established DNA binding sequences for transcription factors (TF). To identify interaction partners of a protein of interest, several large-scale methods such as yeast two-hybrid screens, tandem affinity purification followed by mass spectrometric analyses, and protein chips are commonly used. Proteome-wide studies to identify protein-protein interaction (PPI) partners for many proteins have resulted in several publicly available and well-curated databases, which can be used to elucidate and to explore PPI networks. The integration of this large amount of data from many sources in a comprehensive and insightful way requires the use of computational tools to combine, to manipulate and to visualize the information -3. VisuaSaccharomyces cerevisiae) cellular component) in cellular compartment layers using the plugin Cerebral [PPI network generation and expression data integration using Cytoscape in the presence and/or absence of p23 . Note that radicicol has been widely used in budding yeast as a specific pharmacological inhibitor of Hsp90. Hsp90 is the only known target of radicicol in vivo in this organism, although it should not be ignored that it has been shown to bind a few other proteins with a related ATP binding fold in vitro or in other organisms [i.e., proteins), and edges represent physical interactions of the proteins or correlations of expression levels of the respective genes across all given conditions. Furthermore, the intracellular localization for each node (protein) is obtained from the Gene Ontology (GO) database [Using a microarray experiment, we evaluated gene expression responses in yeast when the function of Hsp90 was disrupted by radicicol or \"dynamically\" Figure . PerformWhereas the more or less multidimensional dependency graphs generated by these binary comparisons are useful and yield interesting results, some patterns might only become apparent by investigating the data of all performed experiments simultaneously as highlighted in Figure Thus, it is the visual impression of animated color changes of clusters of nodes, which allows one to identify potential regulatory patterns. The order of the color changes for a given node is determined by the order of the graphs used to generate the animation. Whereas the order is irrelevant for our particular data set, we do not exclude that it may be important in others . Amongst all of the genes represented in the full data set, it is of course particularly those whose expression changes substantially (indicated by the red and green nodes) across all pairwise comparisons that define patterns showed enrichment in functional terms associated with iron and ion homeostasis, whereas functions of those belonging to pattern B fell into a mitochondrial function (respiration), kinase activity dependent on cyclins and progression through the cell cycle. Genes from pattern C exhibit GO terms related with conjugation processes, catabolism of nitrogen sources and response to stress. The concomitant absence of Hsp90 and p23 induces the expression of stress-related proteins like Ssa4 (encoding one of the cytosolic Hsp70 isoforms), Hsp26, Hsp31, Ddr2. Interestingly, both chaperones might have a positive influence on the expression of genes (pattern D) related with mitochondrial protein import and carbon source metabolism , a phosphatase that positively regulates the Hsp90 chaperone machinery (Ppt1) [HSP82 encoding one of the two cytosolic isoforms) and for its co-chaperones Aha1, Cpr6 and Sti1 belong to this group of genes, thus implying that their regulation is not affected by the interplay between Hsp90 and p23.Following the identification of different patterns by this animation, we extracted the genes corresponding to each pattern , or chroHere we have presented a novel approach to integrate experimental gene expression profiles with already available data. We were able to combine our own data from microarray experiments and data from public databases of PPIs, TF, and GO in a rational manner to address the global biological functions of Hsp90 and p23 both individually and, perhaps more interestingly, concomitantly.Several key features of our working pipeline Figure allowed http://www.picard.ch/downloads/downloads.htm), we can speculate that Hsp90 and its co-chaperones maintain kinases responsible for Msn2/Msn4 repression in a functional state thereby regulating the stress-response illustrate PPIs retrieved from public databases (with experimentally determined interactions; see Additional File Click here for file"}
+{"text": "Su Golder and colleagues carry out an overview of meta-analyses to assess whetherestimates of the risk of harm outcomes differ between randomized trials andobservational studies. They find that, on average, there is no difference in theestimates of risk between overviews of observational studies and overviews ofrandomized trials. There is considerable debate as to the relative merits of using randomisedcontrolled trial (RCT) data as opposed to observational data in systematicreviews of adverse effects. This meta-analysis of meta-analyses aimed toassess the level of agreement or disagreement in the estimates of harmderived from meta-analysis of RCTs as compared to meta-analysis ofobservational studies.Searches were carried out in ten databases in addition to reference checking,contacting experts, citation searches, and hand-searching key journals,conference proceedings, and Web sites. Studies were included where a pooledrelative measure of an adverse effect (odds ratio or risk ratio) from RCTscould be directly compared, using the ratio of odds ratios, with the pooledestimate for the same adverse effect arising from observational studies.Nineteen studies, yielding 58 meta-analyses, were identified for inclusion.The pooled ratio of odds ratios of RCTs compared to observational studieswas estimated to be 1.03 .There was less discrepancy with larger studies. The symmetric funnel plotsuggests that there is no consistent difference between risk estimates frommeta-analysis of RCT data and those from meta-analysis of observationalstudies. In almost all instances, the estimates of harm from meta-analysesof the different study designs had 95% confidence intervals thatoverlapped . In terms of statistical significance, innearly two-thirds , the results agreed (both studiesshowing a significant increase or significant decrease or both showing nosignificant difference). In only one meta-analysis about one adverse effectwas there opposing statistical significance.Empirical evidence from this overview indicates that there is no differenceon average in the risk estimate of adverse effects of an interventionderived from meta-analyses of RCTs and meta-analyses of observationalstudies. This suggests that systematic reviews of adverse effects should notbe restricted to specific study types.Please see later in the article for the Editors' Summary Whenever patients consult a doctor, they expect the treatments they receiveto be effective and to have minimal adverse effects (side effects). Toensure that this is the case, all treatments now undergo exhaustive clinicalresearch\u2014carefully designed investigations that test new treatmentsand therapies in people. Clinical investigations fall into two maingroups\u2014randomized controlled trials (RCTs) and observational, ornon-randomized, studies. In RCTs, groups of patients with a specific diseaseor condition are randomly assigned to receive the new treatment or a controltreatment, and the outcomes of the two groups of patients arecompared. Because the patients are randomly chosen, differences in outcomesbetween the two groups are likely to be treatment-related. In observationalstudies, patients who are receiving a specific treatment are enrolled andoutcomes in this group are compared to those in a similar group of untreatedpatients. Because the patient groups are not randomly chosen, differences inoutcomes between cases and controls may be the result of a hidden sharedcharacteristic among the cases rather than treatment-related .Although data from individual trials and studies are valuable, much moreinformation about a potential new treatment can be obtained bysystematically reviewing all the evidence and then doing a meta-analysis. A systematic review uses predefinedcriteria to identify all the research on a treatment; meta-analysis is astatistical method for combining the results of several studies to yield\u201cpooled estimates\u201d of the treatment effect (the efficacy of atreatment) and the risk of harm. Treatment effect estimates can differbetween RCTs and observational studies, but what about adverse effectestimates? Can different study designs provide a consistent picture of therisk of harm, or are the results from different study designs so disparatethat it would be meaningless to combine them in a single review? In thismethodological overview, which comprises a systematic review andmeta-analyses, the researchers assess the level of agreement in theestimates of harm derived from meta-analysis of RCTs with estimates derivedfrom meta-analysis of observational studies.The researchers searched literature databases and reference lists, consultedexperts, and hand-searched various other sources for studies in which thepooled estimate of an adverse effect from RCTs could be directly compared tothe pooled estimate for the same adverse effect from observational studies.They identified 19 studies that together covered 58 separate adverseeffects. In almost all instances, the estimates of harm obtained frommeta-analyses of RCTs and observational studies had overlapping 95%confidence intervals. That is, in statistical terms, the estimates of harmwere similar. Moreover, in nearly two-thirds of cases, there was agreementbetween RCTs and observational studies about whether a treatment caused asignificant increase in adverse effects, a significant decrease, or nosignificant change (a significant change is one unlikely to have occurred bychance). Finally, the researchers used meta-analysis to calculate that thepooled ratio of the odds ratios of RCTscompared to observational studies was 1.03. This figure suggests that therewas no consistent difference between risk estimates obtained frommeta-analysis of RCT data and those obtained from meta-analysis ofobservational study data.The findings of this methodological overview suggest that there is nodifference on average in the risk estimate of an intervention's adverseeffects obtained from meta-analyses of RCTs and from meta-analyses ofobservational studies. Although limited by some aspects of its design, thisoverview has several important implications for the conduct of systematicreviews of adverse effects. In particular, it suggests that, rather thanlimiting systematic reviews to certain study designs, it might be better toevaluate a broad range of studies. In this way, it might be possible tobuild a more complete, more generalizable picture of potential harmsassociated with an intervention, without any loss of validity, than byevaluating a single type of study. Such a picture, in combination withestimates of treatment effects also obtained from systematic reviews andmeta-analyses, would help clinicians decide the best treatment for theirpatients.http://dx.doi.org/10.1371/journal.pmed.1001026.Please access these Web sites via the online version of this summary atclinicalresearch; the UK National Health Service Choices Website also has a page on clinical trials and medical researchThe US National Institutes of Health provide information on CochraneCollaboration produces and disseminates systematicreviews of health-care interventionsThe clinical trials (in English and Spanish)Medline Plus provides links to further information about There is considerable debate regarding the relative utility of different studydesigns in generating reliable quantitative estimates for the risk of adverseeffects. A diverse range of study designs encompassing randomised controlled trials(RCTs) and non-randomised studies (such as cohort or case-control studies) maypotentially record adverse effects of interventions and provide useful data forsystematic reviews and meta-analyses In theory, well-conducted RCTs yield unbiased estimates of treatment effect, butthere is often a distinct lack of RCT data on adverse effects In general RCTs are designed and powered to explore efficacy Given these limitations it may be important to evaluate the use of data fromnon-randomised studies in systematic reviews of adverse effects. Owing to the lackof randomisation, all types of observational studies are potentially afflicted by anincreased risk of bias (particularly from confounding) As both RCTs and observational studies are potentially valuable sources of adverseeffects data for meta-analysis, the extent of any discrepancy between the pooledrisk estimates from different study designs is a key concern for systematicreviewers. Previous research has tended to focus on differences in treatment effectbetween RCTs and observational studies Broad, non-specific searches were undertaken in ten electronic databases toretrieve methodology papers related to any aspect of the incorporation ofadverse effects into systematic reviews. A list of the databases and othersources searched is given in Because of the limitations of searching for methodological papers, it wasenvisaged that relevant papers may be missed by searching databases alone. Wetherefore undertook hand-searching of selected key journals, conferenceproceedings, and Web sources, and made contact with other researchers in thefield. In particular, one reviewer (S. G.) undertook a detailed hand searchfocusing on the Cochrane Database of Systematic Reviews and the Database ofAbstracts of Reviews of Effects (DARE) to identify systematic reviews that hadevaluated adverse effects as a primary outcome. A second reviewer (Y. K. L.)checked the included and excluded papers that arose from this hand search.A meta-analysis or evaluation study was considered eligible for inclusion in thisreview if it evaluated studies of more than one type of design on the identification and/orquantification of adverse effects of health-care interventions. We wereprincipally interested in meta-analyses that reported pooled estimates of therisk of adverse effects according to study designs that the authors stated asRCTs, as opposed to analytic epidemiologic studies such as case-control andcontrolled cohort studies . Our review focuses on the meta-analyseswhere it was possible to compare the pooled risk ratios (RRs) or odds ratios(ORs) from RCTs against those from other study designs.Information was collected on the primary objective of the meta-analyses; theadverse effects, study designs, and interventions included; the number ofincluded studies and number of patients by study design; the number of adverseeffects in the treatment and control arm or comparator group; and the type ofoutcome statistic used in evaluating risk of harm.We relied on the categorisation of study design as specified by the authors ofthe meta-analysis. For example, if the author stated that they compared RCTswith cohort studies, we assumed that the studies were indeed RCTs and cohortstudies.Validity assessment and data extraction were carried out by one reviewer (S. G.),and checked by a second reviewer (Y. K. L.). All discrepancies were resolvedafter going back to the original source papers, with full consensus reachedafter discussion.2 orI2). We assessed the extent of heterogeneity ofeach meta-analysis using a cut-off point of p < 0.10 forChi2 test results, and we specifically looked for instances whereI2 was reported as above 50%. In the fewinstances where both statistics were presented, the results ofI2 were given precedence The following criteria were used to consider the validity of comparing riskestimates across different study designs. (1) Presence of confounding factors:Discrepancies between the results of RCTs and observational studies may arisebecause of factors other than study design. We recordedwhether the authors of the meta-analysis checked if the RCTs and observationalstudies shared similar features in terms of population, interventions,comparators, and measurement of outcomes and whether they used methods such asrestriction or stratification by population, intervention, comparators, oroutcomes to improve the comparability of pooled risk estimates arising fromdifferent groups of studies. (2) Heterogeneity by study design: We recordedwhether the authors of the meta-analysis explored heterogeneity of the pooledstudies by study design overlapbetween pooled sets of results by study design, and any differences in thedirection of effect between study designs, were presented. The results were saidto agree if both study designs identified a significant increase, a significantdecrease, or no significant difference in the adverse effects underinvestigation.Quantitative differences or discrepancies between the pooled estimates from therespective study designs for each adverse effect were illustrated by taking theratio of odds ratios (ROR) from meta-analysis of RCTs versus meta-analysis ofobservational studies. We calculated ROR by using the pooled OR for the adverseoutcome from RCTs divided by the pooled OR for the adverse outcome fromobservational studies. If the meta-analysis of RCTs for a particular adverseeffect yielded exactly the same OR as the meta-analysis of observational studies, then theROR would be 1.0 (and ln ROR\u200a=\u200a0). Because adverse eventsare rare, ORs and RRs were treated as equivalent The estimated ROR from each \u201cRCT versus observational study\u201dcomparison was then used in a meta-analysis to summarize the overall ROR between RCTs andobservational studies across all the included reviews. The standard error (SE)of ROR can be estimated using the SEs for the RCT and observationalestimates:SEs pertaining to each pooled OR(RCT) and OR(Observ) were calculated from thepublished 95% CI.I2statistic, with I2 values of30%\u201360% representing a moderate level of heterogeneity Statistical heterogeneity was assessed using In total, 52 articles were identified as potentially eligible for this review. Onfurther detailed evaluation, 33 of these articles either compared differenttypes of observational studies to one another or compared only the incidence of adverse effects(without reporting the RR/OR) in those receiving the intervention according totype of study We finally selected 19 eligible articles that compared the relative risk or ORsfrom RCTs and observational studies [6],[114Two of the 19 articles were methodological evaluations with the main aim ofassessing the influence of study characteristics (including study design) on themeasurement of adverse effects The majority of the articles compared the results from RCTs and observationalstudies using only one adverse effect Most of the articles included only one type of intervention Although many of the meta-analyses acknowledged the potential for confoundingfactors that might yield discrepant findings between study designs, noadjustment for confounding factors was reported in most instances There were two instances where the authors of the meta-analysis performedsome adjustment for potential confounding factors: one carried outmeta-regression 2 or I2Thirteen meta-analyses measured the heterogeneity of at least one set of theincluded studies grouped by study design using statistical analysis such asChiI2\u200a=\u200a58.9%I2\u200a=\u200a58.8%The pooled sets of RCTs were least likely to exhibit any strong indication ofheterogeneity; only five (15%) Three of the four case-control studies, one of the four cohort studies, and14 of the 25 studies described as \u201cobservational studies\u201d alsoexhibited substantial heterogeneity.Authors of one meta-analysis explicitly tested for a difference between theresults of the different study designs In ten methodological evaluations the total number of participants wasreported in each set of pooled studies by study design In almost all instances the CIs for the pooled results from the differentstudy designs overlapped . HoweverIn most of the methodological evaluations the results of the treatment effectagreed between types of study design There were major discrepancies in one pooled set of results. Col et al. p-values from significance testing.There were other instances where although the direction of the effect was notin opposing directions, apparently different conclusions may have beenreached had a review been restricted to either RCTs or observationalstudies, and undue emphasis was placed on statistical significance tests.For instance, a significant increase in an adverse effect could beidentified in an analysis of RCT data, yet pooling the observational studiesmay have identified no significant difference in adverse effects between thetreatment and control group. RRs or ORs from the RCTs were compared to those from the observationalstudies by meta-analysis of the respective ROR for each adverse effect.I2\u200a=\u200a56%,95% CI 38%\u201367%) with moderateheterogeneity(38%\u201367%) .x-axis show the magnitude of discrepancy, with thecentral ln ROR of zero indicating no discrepancy, or complete agreementbetween the pooled OR estimated from RCTs and observational studies. They-axis illustrates the precision of the estimates(1/SE), with the data points at the top end having greater precision. Thissymmetrical distribution of the RORs of the various meta-analyses around thecentral ln ROR value of zero illustrates that random variation may be animportant factor accounting for discrepant findings between meta-analyses ofRCTs versus observational studies. If there had been any systematic andconsistent bias that drove the results in a particular direction for certainstudy designs, the plot of RORs would likely be asymmetrical. The verticallytapering shape of the funnel also suggests that the discrepancies betweenRCTs and observational studies are less apparent when the estimates havegreater precision. This may support the need for larger studies to assessadverse effects, whether they are RCTs or observational studies.In Both figures can be interpreted as demonstrating that there are no consistentsystematic variations in pooled risk estimates of adverse effects from RCTsversus observational studies.There are no adverse effects for which two or more separate meta-analyseshave used exactly the same primary studies to generate the pooled estimates. Thisreflects the different time periods, search strategies, and inclusion andexclusion criteria that have been used by authors of these meta-analysessuch that even though they were looking at the same adverse effect, theyused data from different studies in generating pooled overall estimates. Asit turns out, the only adverse effect that was evaluated in more than onereview was venous thromboembolism (VTE). There was some, but not complete,overlap of primary studies in three separate reviews of VTE with HRT and two separate reviews of VTE with oralcontraceptives .For the sensitivity analysis, we removed the three older meta-analysespertaining to VTE so that the modest overlap could be further reduced, withonly one review per specific adverse effect for the sensitivity analysis.The most recent meta-analyses for VTE , witha subgroup analysis based on different types of observational designs.Another important limitation to this review is the potentially unrepresentativesample used. Systematic reviews with embedded data comparing different studydesigns may have been missed. The search strategy used was limited to aliterature search to identify methodological papers whose primary aim was toassess the influence of study design on adverse effects and to a sift of thefull text of systematic reviews of adverse effects (as a primary outcome) fromthe Cochrane Database of Systematic Reviews and DARE. Nevertheless, it should benoted that the Cochrane Database of Systematic Reviews and DARE databases covera large proportion of all systematic reviews and that systematic reviews inwhich adverse effects are included as a secondary aim are unlikely to presentsubgroup analysis by study design for the adverse effects data.There was considerable heterogeneity between the comparisons of differentstudies, suggesting that any differences may be specific to particular types ofinterventions or adverse effects. It may be that particular types of adverseeffects can be identified more easily via particular types of study designsWhere no randomized data exist, observational studies may be the only recourseIn addition, it would be useful (based on a case-control type of design) to carryout an in-depth examination of the meta-analyses (and their included primarystudies) with substantial discrepancy amongst the RCTs and observationalstudies, as compared to other meta-analyses where RCTs and observational studieshad close agreement. Any future research in this area should look into the roleof confounding factors (such as different population selection and duration ofdrug exposure) between studies, and lack of precision in point estimates of riskfor rare events that could have accounted for discrepant findings amongst RCTsand observational studies.Our findings have important implications for the conduct of systematic reviews ofharm, particularly with regards to selection of a broad range of relevantstudies. Although there are strengths and weaknesses to each study design,empirical evidence from this overview indicates that there is no difference onaverage between estimates of the risk of adverse effects from meta-analyses ofRCTs and of observational studies. Instead of restricting the analysis tocertain study designs, it may be preferable for systematic reviewers of adverseeffects to evaluate a broad range of studies that can help build a completepicture of any potential harm and improve the generalisability of the reviewwithout loss of validity.Figure S1Meta-analysis of RORs from RCTs versus cohort studies, case-controlstudies and studies described as \u201cobservational.\u201d(DOC)Click here for additional data file.Table S1Characteristics of included studies.(DOC)Click here for additional data file.Text S1Sources searched for included studies.(PDF)Click here for additional data file.Text S2Example search strategy.(PDF)Click here for additional data file.Text S3Excluded studies.(PDF)Click here for additional data file.Text S4Duplicate data decisions.(PDF)Click here for additional data file."}
+{"text": "Aedes aegypti, via insecticides and breeding site removal. The sustained transmission of dengue in endemic settings together with its increasing global footprint indicates existing disease control strategies have been unsuccessful Dengue is the most important arboviral infection of humans. In endemic countries the scale of the dengue disease burden imparts an economic cost Ae. aegypti that carry transgenes that result in highly penetrant, dominant, late-acting, female-specific lethality Wolbachia, into strains of Ae. aegyptiWolbachia-infected Ae. aegypti are partially resistant to infection with DENV Wolbachia to invade insect populations Ae. aegypti populations. The life-shortening impact of some Wolbachia strains could also contribute to reductions in disease transmission Wolbachia (wMel and wMelPop strains) have now been successfully carried out in Cairns, Australia and have demonstrated that Wolbachia can establish itself at very high prevalence in field populations of Ae. aegyptiNovel vector control approaches to limit dengue virus (DENV) transmission include release of Wolbachia-infected Ae. aegypti have been released could take many years or decades to yield evidence that is suggestive of a benefit. Equally, the heterogeneity of dengue transmission poses challenges to traditional clinical trial approaches, as does the non-stationary nature of mosquito populations Wolbachia-infected Ae. aegypti, it is also relevant to other vector control interventions, such as genetically engineered male mosquitoes carrying a dominant lethal gene A critical challenge for all entomological approaches to control of vector-borne disease is how best to demonstrate efficacy in reducing disease transmission A. aegypti mosquitoes of nearly 100% in treatment clusters within 6 months after first release A. aegypti mosquitoes present in control clusters remain virtually free of Wolbachia for the entire study period.Cluster randomised trials (CRTs) are the gold standard design to provide evidence on the efficacy of an intervention that has community-wide impact We consider the incidence of DENV-seroconversions during a trial as a suitable primary endpoint and DENV-na\u00efve children aged 2\u20135 years living in each cluster as an optimal \u201csentinel\u201d cohort for serological surveillance. Young children are less likely to spend substantial periods of time outside of their residence and local community (and hence outside of the \u201ctreatment umbrella\u201d) than more mobile older children and adults. In addition, DENV-prevalence in older children is higher and those remaining na\u00efve and hence eligible for the study are potentially less representative of the full population .Two alternative designs are considered. The first is the classical parallel two-armed cluster randomised trial (PCRT) in which each recruited cluster is randomised to intervention or control, and the intervention is implemented simultaneously across the relevant clusters. Thus the control clusters provide contemporaneous controls for the intervention clusters. The other design considered is a stepped wedge cluster randomised trial (SWCRT) in which each cluster is assigned to the control treatment initially and clusters are subsequently crossed-over to the intervention in a random selection at fixed time points until eventually all clusters are under treatment SWCRTs have been most frequently used for evaluating interventions during routine implementation such as the evaluation of a vaccine on the community level following a successful individual randomised trial. From a logistic perspective, they are attractive, because the intervention can be rolled out in a step-wise fashion and evaluated. As clusters are their own controls, SWCRTs are less sensitive to between-cluster variation and thus might require a lower sample size compared to parallel designs Wolbachia-infected mosquitoes to ensure a persistent and homogenous effect in treatment clusters without undue contamination into untreated clusters that serve as controls. For dengue trials community considerations include the extent of daily movement within and between clusters that the surveillance cohorts are likely to undertake; if the clusters are too small this movement may be excessive, and cause further reduction in any treatment effect. Thus, data on movement patterns of children eligible to join the surveillance cohort together with more information on the limits of spatial dispersal of Wolbachia-infected mosquitoes are essential before the cluster formation stage of any trial. An approach that is widely adopted in CRTs is the so-called \u201cfried-egg\u201d design Cluster size and cluster separation are important considerations in the design of all CRTs, but they require particular attention in trials of vector control interventions, for which entomological and community considerations need be taken into account. Entomological considerations include the dispersal of Wolbachia intervention (or other community-based intervention) depend critically on the size of the intervention effect and on both the magnitude and the variability of seroconversion rates between clusters. To assess this variability in an example, we used published data from 12 primary schools in Kamphaeng Phet, Thailand, followed over a 3-year period Sample size requirements for CRTs of a A mixed-effects Poisson-regression model fitted to these data gave coefficients of variation for yearly DENV infection incidence of 0.27 for between-school variation, 0.57 for annual variation, and 0.85 for residual variation . A detailed description of the model used to derive these coefficients of variation can be found in We then used the incidence and variability data reported above to simulate hypothetical PCRT and SWCRT trials. Additional assumptions for the trial simulations were a study duration of 3 years and a surveillance cohort of 100 children in each cluster. We varied the intervention effect between a 40% and an 80% decrease of DENV seroconversion in intervention clusters compared to controls. Allowing for the fact that some children in intervention clusters will experience infections outside of the intervention area, we regard an effect of a 50%\u201360% reduction as realistic in our target population. Details regarding the set-up of the simulation study and the statistical analysis of simulated trials are provided in Sample size requirements for the two designs and for varying treatment effects are shown in A parallel cluster-randomised trial is the design of choice for testing novel entomological methods of dengue control. Under realistic assumptions we show it to require a substantially lower sample size than a stepped wedge design. Sample size requirements for a parallel design are relatively modest; our example gave a minimum sample size of 20 clusters (ten per study arm) with each cluster providing 100 person-years of follow-up per year and a follow-up duration of 3 years. Although careful planning and substantial funding are required to run such a trial, the benefits of having a robust evidence-base from which to promote programmatic roll-out and/or further optimisation of the strategy should prove invaluable.Text S1Statistical appendix containing: (1) a diagram of a parallel two-arm cluster randomised trial (PCRT) and a stepped wedge cluster randomised trial (SWCRT), (2) details regarding the determination of coefficients of variation for the Thailand data, and (3) details regarding the simulation study to compare PCRT versus SWCRT designs.(DOCX)Click here for additional data file."}
+{"text": "Available data show that future changes in global change drivers may lead to an increasing impact of fires on terrestrial ecosystems worldwide. Yet, fire regime changes in highly humanised fire-prone regions are difficult to predict because fire effects may be heavily mediated by human activities We investigated the role of fire suppression strategies in synergy with climate change on the resulting fire regimes in Catalonia (north-eastern Spain). We used a spatially-explicit fire-succession model at the landscape level to test whether the use of different firefighting opportunities related to observed reductions in fire spread rates and effective fire sizes, and hence changes in the fire regime. We calibrated this model with data from a period with weak firefighting and later assess the potential for suppression strategies to modify fire regimes expected under different levels of climate change. When comparing simulations with observed fire statistics from an eleven-year period with firefighting strategies in place, our results showed that, at least in two of the three sub-regions analysed, the observed fire regime could not be reproduced unless taking into account the effects of fire suppression. Fire regime descriptors were highly dependent on climate change scenarios, with a general trend, under baseline scenarios without fire suppression, to large-scale increases in area burnt. Fire suppression strategies had a strong capacity to compensate for climate change effects. However, strong active fire suppression was necessary to accomplish such compensation, while more opportunistic fire suppression strategies derived from recent fire history only had a variable, but generally weak, potential for compensation of enhanced fire impacts under climate change. The concept of fire regime in the Mediterranean is probably better interpreted as a highly dynamic process in which the main determinants of fire are rapidly modified by changes in landscape, climate and socioeconomic factors such as fire suppression strategies. Fire is a key disturbance in many terrestrial ecosystems Fire regimes are determined by complex interactions between climate, land use, vegetation attributes and the pattern of ignition As fire events do not only impact ecological communities but also have major negative effects on human activities, several agencies have devoted considerable efforts to suppress fires Very few studies have investigated the potential contrasting effects of climate change and fire suppression efforts on fire impact at the landscape scale Our premise is that improved fire-behaviour knowledge by fire brigades may currently constrain the occurrence of large fires and strongly influence the effective area burnt in the study area Pinus halepensis, 18.4% Pinus sylvestris, 11.7% Pinus nigra), while sclerophilous and deciduous species cover the remaining 39.7% .The study area was Catalonia a region located in the north-eastern corner of Spain). Catalonia is extensively covered with shrubland and forests (about 60%) but human presence since pre-historical times has led to large-scale changes in species composition and distribution of dominant species in historical and recent times. The majority of the study area has a Mediterranean climate, with winter precipitation and summer drought Fire is a major landscape driver in the region, with about 25% of the wild-land area being burnt between 1975 and 2010 . Stand-rIn recent times, increased resource investment and efficiency in firefighting activity has lead to most of the fires being controlled at early stages in their development, especially near highly populated areas The MEDFIRE model is a novel spatially explicit stochastic model that simulates landscape composition changes derived from vegetation dynamics and wildfire disturbances in a Mediterranean context. The model simulates the primary processes of a landscape fire-succession model [38]: veThe MEDFIRE model aims to examine the spatial interaction between wildfires and vegetation dynamics in heterogeneous landscapes. It has been designed to model different fire regime drivers to allow the investigation of their relative effects on the resulting annual area burnt distribution, fire size distribution and landscape composition at short- and medium-term time scales in a Mediterranean context. The model permits the characterization of the spatial variation in burning and land cover changes under different climatic scenarios and fire suppression strategies. The MEDFIRE model assumes that the main driver of the fire regime in the study area is climate State variables in the MEDFIRE model are spatial variables that describe the landscape context and conditions. They are represented in raster format and cover the full extent of the study area at 100 m resolution. The temporal scale is fixed and one time step represents one year; simulations are normally run for a few decades.land cover type (LCT) and time since last fire (TSF). LCT is a categorical variable whose states are divided into 13 land covers that can be affected by fire disturbance because of their burnable condition , and three land covers that cannot . Although several LCTs are burnable, and therefore contribute to fire spread, only shrublands and forests can undergo land cover changes. This approach may constrain the application of the MEDFIRE model in cases in which land abandonment or urbanization are widespread and rapid. Yet, we consider that the model is adequate in situations in which such land use changes are of minor importance compared to fire and forest maturation in determining landscape changes over the study time frame Pinus halepensis, Pinus nigra, Pinus pinea, Pinus sylvestris, Quercus ilex and Quercus suber) is representative of the Mediterranean landscapes dominant in Catalonia and other areas of the Western-Mediterranean Quercus species and other trees. TSF is an integer variable that is used as a surrogate of vegetation age and of timber volume, for cells belonging to shrubland and forest cover types only.The state variables whose values change as a result of spatial processes are Other spatial state variables describe additional landscape features but are static in the current version of the model: ignition probability, bioclimatic region, fire spread type, elevation, aspect and main wind direction . The ignFire disturbance and vegetation change processes are designed as two separate sub-models each of whose action needs to be completed before the next one starts. Each one-year time step, the fire disturbance sub-model is scheduled first, followed by the sub-module responsible for vegetation changes. The fire sub-model begins by setting the potential total area to be burnt. The sub-model simulates fires sequentially until the potential total area to be burnt is reached . For eacThe fire sub-model has been designed to allow the fire spread rate to partially depend on the main factors determining fire shapes in real landscapes active suppression) concerns opportunities generated in areas where spread rate (an indicator of fire intensity) is low enough to allow firefighting crews to stop a fire from spreading further. The second suppression strategy is based on opportunities derived from recent burned areas (fire scars). Previous detailed knowledge of the location and low fuel loads in these areas is assumed to lead to a significant increase in firefighting capacity. The two suppression strategies differ in the mechanisms driving such reductions in effective area burnt: while the opportunistic suppression strategy takes advantage of opportunities derived from past fire history and fire suppression strategies in determining the fire regime and its impacts.In MEDFIRE, forests are simply described using the dominant tree species for each grid cell . TherefoInitial LCT values were obtained using spatially explicit information on tree species distribution in Catalonia from the Spanish Forest Map and forest compositional data derived from forest inventories Available fire statistics for the 1975\u20131988 period were used to build input distributions for potential total area burnt and potential fire sizes. We differentiated between adverse and normal years of the 1975\u20131988 period using meteorological data. Spread type layers were based on We used available fire statistics for the period between 1989 and 1999 to validate fire regime descriptors generated by the MEDFIRE model. This period precedes the implementation in the year 2000 of key enhancements in Catalonia in fire fighting capacity involving the introduction of logical analyses of fire behaviour We ran 100 simulation replicates of the MEDFIRE model for this eleven-year period using meteorological records of summer weather conditions to determine adverse (4 years) and non-adverse years (7 years) in the model. To determine whether the modelled fire regime was compatible with observed data we compared the observed fire regime descriptor with the corresponding interval containing 95% of simulated values. Given the spatial variation in fire regimes known to exist in Catalonia We then used available fire statistics for the period between 2000 and 2010 to examine the potential role of fire suppression processes in the study area. This period starts with the implementation in Catalonia of logical analyses of fire behaviour We defined nine fire suppression treatments : the firIf firefighting has impacted fire regime descriptors for the 2000\u20132010 period, we expect a lower overall burnt area and a smaller percentage of area burnt in large fires in the observed fire regime compared to the fire regime of simulations under the baseline scenario without firefighting. To test this hypothesis, we calculated, under the baseline scenario, the proportion of simulations replicates that produced fire descriptor values smaller than the observed values. These probabilities were calculated for the whole study area as well as for bioclimatic sub-regions. Because we controlled for climatic effects in our simulations, a low proportion of replicates meeting these conditions would indicate that fire suppression was indeed impacting the fire regime. In order to determine which firefighting strategies would be compatible with observed fire regime, we followed the same procedure as in the validation test. A given fire suppression treatment was deemed compatible with the observed fire regime if the observed values of both descriptors were within the 95% of simulated values. Given the spatial variation in fire regimes known to exist in Catalonia In a final simulation exercise, we used the MEDFIRE model to evaluate the potential role of firefighting practices in constraining the regional fire regime at a medium time horizon (20 years) under different assumptions of climate change. We defined fire regime scenarios by generating combinations of climatic and suppression treatments. Climatic treatments were defined by specifying whether the percentage of adverse years is equal to the percentage observed for the pre-2000 period (C0\u223635% adverse years); or it is 25% higher (C1\u223660% adverse years); or 50% higher (C2\u223685% adverse years), according to the trends described in Given the potential strong, but still uncertain effect of fire suppression strategies, we decided to use a relatively wide range of fire suppression treatments in conjunction with climate scenarios. However, and after preliminary results that showed similar outcomes compared to the baseline scenario, we discarded weak fire suppression treatments . We ran 100 twenty-year simulations under each fire regime scenario and used two-way ANOVA to analyze the main effects and interaction between climatic and fire suppression treatments on the two descriptors of fire regime.Observed total area burnt and percentage of area burnt by large fires in the period 1989\u20131999 were compatible with fire regime distributions modelled by the MEDFIRE model calibrated with data from an earlier period . When weWhen we inspected the outputs of the MEDFIRE model for the 2000\u20132010 period, we found considerable variation across fire suppression treatments in the total amount of area burnt; with average reductions over the no-suppression scenario of up to 84% were compatible with observed fire statistics for the study period in Catalonia A. The oThe total amount of area burnt was highly dependent on climatic treatments as tested using ANOVAs . ScenariLarge-scale changes in fire regimes are expected in a world in which climate change and human activities are on the rise. Recent reviews We also identified some potential avenues to implement this integration and address this question, albeit further examination of this complex issue is obviously needed. Assessments of fire suppression impacts on fire regimes are often performed using a long time perspective and do not include short-term changes in vegetation derived from the fire itself per se recent, short term, fire size distribution patterns in our study region. This suggests that the current high fire suppression efficiency may be leading to changes in the relative weight of factors in the future fire regime by decreasing the opportunities that arise from past fires.Impacts of fire suppression on fire regimes are difficult to identify Adverse climatic conditions are a key element in determining current fire regimes in Mediterranean areas Further investigation of interacting mechanisms and feedbacks between factors potentially affecting fire impact is merited. Our results suggest that fire regimes in areas under strong human and climate change influence are not likely to be under stable fire regimes but rather show short term impacts of the idiosyncratic contributions of the different factors in the system. In the case of Mediterranean landscapes, one could predict a strong increase of fire impacts in the near future. However, it is not clear whether this will be the case under current levels of fire suppression and landscape changes leading to shifts in dominant vegetation and the expected feedbacks between these factors The concept of fire suppression opportunity associated with known and predictable factors affecting fire spread opens the way to landscape management approaches aiming at effectively changing fire regimes. In general, as the global emphasis on fire suppression policies increases, there will be a need to evaluate the effects of direct fire suppression and indirect fire management, through fuel modifications, on fire size distributions. There will also be a need to understand how fire regimes will be naturally affected by climatic changes operating through changes in fire weather conditions or changes in dominant forest cover types. Finally, the potential to alter fire regimes will involve the creation of new landscape configurations that may have critical impacts on biodiversity patterns. In the case of opportunistic fire suppression, interactions between past fire history and fire impact may increase the degree of autocorrelation in the spatial pattern of fire patches, potentially affecting ecological processes such as regeneration or colonisation of early successional species associated with fire Figure S1Statistical distributions for the total area burnt (A) and the percentage of area burnt by large fires (B) obtained after 100 simulations of the MEDFIRE model for the 1989\u20131999 period. Results are presented for the whole study area (ALL) and for the three bioclimatic sub-regions: North-East (NE), North-West (NW:) and South-Central (SC). Black squared dots indicate the statistics of total area burnt (A) and the percentage of area burnt by large fires (B) omitting from the observed data the single largest fire occurred in 1994. Boxplot description is as in the manuscript.(TIF)Click here for additional data file.Table S1Three-way ANOVA tables summarizing the results of twenty-year simulated fire regimes scenarios in terms of the total area burnt (A) and percentage of area burnt by large fires.(DOC)Click here for additional data file.Appendix S1Sub-model Description. This appendix describes details of the two sub-models of the MEDFIRE model, the fire sub-model Forest growth and the vegetation dynamics sub-model.(DOC)Click here for additional data file.Appendix S2Initialization of model variables. This appendix describes the main data sources employed to initialize spatial state variables and parameters used in the MEDFIRE model and described in (DOC)Click here for additional data file."}
+{"text": "Recent efforts to improve survival in patients with locally advanced esophageal carcinoma have combined both systemic and local therapy. However, the role of neoadjuvant chemoradiotherapy in technically operable IIa-III esophageal carcinoma is still unresolved. We have read with interest the report from Hurmuzlu and coll on the oThe report is of great speculative interest given the consistently poor prognosis of OC whatever the therapeutic strategy adopted: so far, in fact, there is no general consensus on the appropriate treatment for such a dreadful condition. Specifically, the role of chemo-radiotherapy administered pre-operatively in resectable cstage IIa-III OC is still discussed.Scarce data are available from the literature and these are not consistent. In fact some experiences ,3 concluIn this scenario of substantial absence of a large base of methodologically correct evidence and agreed guidelines we consider the results from of signiThe authors declare no conflicts of interestAll authors read and approved the final manuscript."}
+{"text": "The mucosa of the intestinal tract represents a finely tuned system where tissue structure strongly influences, and is turn influenced by, its function as both an absorptive surface and a defensive barrier. Mucosal architecture and histology plays a key role in the diagnosis, characterization and pathophysiology of a host of gastrointestinal diseases. Inflammation is a significant factor in the pathogenesis in many gastrointestinal diseases, and is perhaps the most clinically significant control factor governing the maintenance of the mucosal architecture by morphogenic pathways. We propose that appropriate characterization of the role of inflammation as a controller of enteric mucosal tissue patterning requires understanding the underlying cellular and molecular dynamics that determine the epithelial crypt-villus architecture across a range of conditions from health to disease. Towards this end we have developed the Spatially Explicit General-purpose Model of Enteric Tissue (SEGMEnT) to dynamically represent existing knowledge of the behavior of enteric epithelial tissue as influenced by inflammation with the ability to generate a variety of pathophysiological processes within a common platform and from a common knowledge base. In addition to reproducing healthy ileal mucosal dynamics as well as a series of morphogen knock-out/inhibition experiments, SEGMEnT provides insight into a range of clinically relevant cellular-molecular mechanisms, such as a putative role for Phosphotase and tensin homolog/phosphoinositide 3-kinase (PTEN/PI3K) as a key point of crosstalk between inflammation and morphogenesis, the protective role of enterocyte sloughing in enteric ischemia-reperfusion and chronic low level inflammation as a driver for colonic metaplasia. These results suggest that SEGMEnT can serve as an integrating platform for the study of inflammation in gastrointestinal disease. Mucosal histology plays a key role in the diagnosis, characterization and propagation of a host of gastrointestinal diseases, and the development of computational models capable of producing spatial architecture comparable to histology will enhance the evaluation of hypotheses for those diseases. Inflammation is a significant factor in the pathogenesis of a series of gastrointestinal diseases, and affects the maintenance of the mucosal architecture by morphogenic pathways. We have developed the Spatially Explicit General-purpose Model of Enteric Tissue (SEGMEnT) to investigate the behavior of enteric epithelial tissue as influenced by inflammation. SEGMEnT integrates cellular and molecular pathways governing morphogenesis and inflammation to generate a variety of pathophysiological processes from a common platform and knowledge base. Beyond reproducing healthy and disease ileal mucosal dynamics, SEGMEnT provides insight into a range of clinically relevant cellular-molecular mechanisms, including a novel putative role for Phosphotase and tensin homolog/phosphoinositide 3-kinase (PTEN/PI3K) as a key point of crosstalk between enteric inflammation and morphogenesis, the protective role of enterocyte sloughing in enteric ischemia-reperfusion and the mechanism of chronic low level inflammation as a driver for colonic metaplasia. These results suggest that SEGMEnT can serve as an integrating platform for the study of inflammation in gastrointestinal disease. The gut epithelium faces unique challenges in striking a balance between its receptive role in the absorption of nutrients and fostering synergistic interactions with commensal microbes versus retaining sufficient defensive barrier function to prevent microbial invasion and heal tissue injury effectively within this complex environment. The clinical relevance of the structure-function relationship of the gut mucosa is readily evident in the fact that histological characterization of intestinal mucosal architecture is a mainstay in the diagnosis of intestinal disease SEGMEnT provides a platform for instantiating conceptual models (hypotheses) representing baseline, healthy systems, which can then be used to explore, through differential perturbations, different disease trajectories SEGMEnT is a cell-level ABM: an object-oriented, discrete event, rule-based computational modeling method consisting of populations of computational entities (agents) that follow programmed rules governing their behavior with respect to the environment and interactions with other agents SEGMEnT aims to replicate the dynamically stable morphology and cellular populations of the healthy ileum, while matching the spatial distribution of molecular signaling gradients reported in the literature. SEGMEnT also reproduces the effects of inhibition of various signaling pathways by matching resultant phenotypic alterations of the crypt-villus architecture as reported in the literature. SEGMEnT is used to investigate two general types of potentially pathogenic conditions: 1) those resulting from acute insults/perturbations, namely local tissue injury resulting in a wound and the response to enteric ischemia-reperfusion, and 2) chronic conditions that result in a persistent alteration of the homeostatic set-point of the crypt-villus architecture. For this latter case we use the example of colonic metaplasia of the ileal pouch following restorative surgery for ulcerative colitis, thought to be induced by chronic, low-level inflammation due to fecal stasis Simulations with SEGMEnT fall into three categories: 1) those representing the baseline healthy state of the gut mucosa, 2) those reproducing previously published single-molecule/gene knockout/inhibition experiments, and 3) those reproducing published experiments investigating specific pathophysiological conditions. For details of the underlying biology in SEGMEnT and the development process see the Materials and Methods and the Supplementary Materials Integral to the use of computational models as a means of integrating mechanistic knowledge is the ability of those models to replicate baseline, healthy behavior Selective pathway component knockout and/or inhibition studies are a mainstay of molecular biologyThe Wnt pathway is a fundamental pathway to gut morphology, and the consequences of its inhibition are well documented Computational models provide detail into the progression of events; here, one can observe that gut epithelial cells quickly differentiate as the \u03b2-catenin destruction complex is activated. The increased Hh signal from the newly differentiated cells leads to the production of the Wnt inhibitor, secreted frizzled-related protein 1 (SFRP1), which quickly eliminates all Wnt activity. At this point, the crypt no longer exists, there are few proliferating cells, and the villi have lost significant cellularity; within two days, the last of the differentiated villus cells will have undergone apoptosis and the tissue is dead. Unfortunately, at this time, quantitative experimental data characterizing the dynamic properties of the respective cell populations and their respective molecular signatures is not available, but qualitatively, the output from SEGMEnT matches that seen in experiment in terms of crypt-villus atrophy and subsequent death Hh inhibition, while less studied, represents the diametrically opposed case to the Wnt pathway While experimental inhibition of PTEN does not change epithelial architecture (in the long term) from the normal state in the absence of inflammation Simulation of PTEN inhibition demonstrates a \u201cnull\u201d consequence of SEGMEnT's PTEN representation on baseline morphogenesis; we hypothesize that its role would only become significant in the perturbation case involving inflammation. All organisms have evolved in a heterogeneous and potentially dangerous environment and thus have to be able to deal with injury in order to maintain their bodily integrity. The inflammatory response is a highly conserved system that represents an organism's initial active response to these threats, providing initial containment and control and prompting the subsequent healing process SEGMEnT simulations of localized epithelial injury demonstrate the ability of the simulated tissue to heal itself after the infliction of a localized wound to the mucosa. A tissue wound/injury is represented by activating sufficient toll-like receptor (TLR4) signaling to cause all cells on the villi to die simultaneously by necrosis Arrow 1.Intestinal ischemia/reperfusion (I/R) is a significant clinical pathophysiological entity. When an individual is under extreme stress, e.g. severe injury, blood loss or shock, the body's response is to divert blood flow away from the enteric circulation towards the more immediately critical organs such as the heart and brain, sacrificing intestinal ischemia for immediate survival. Additionally, certain types of major thoracic or abdominal surgery require a temporary occlusion of intestinal blood flow, leading to a period of enteric ischemia. The reperfusion phase involves a rapid influx of blood and circulating immune/inflammatory cells into an endothelial surface that has been primed by the ischemic period, which results in an acute activation of the inflammatory response We test the hypothesis that GEC sloughing is protective to I/R injury by performing simulations where FABP-mediated sloughing is deactivated . The laccolonic metaplasia of the pouch epithelial tissue Metaplasia is the reversible transformation of one type of tissue architecture into one resembling another type of tissue. It is distinct from neoplasia or dysplasia insomuch that the cells themselves do not exhibit dysfunctional growth but rather alter their differentiation path towards a different terminal cellular phenotype. Metaplasia is reflective of an alteration of the tissue environment that subsequently favors the new cellular phenotype, and is therefore often seen in chronic disease states. One example of this is seen in the small intestine following definitive surgery for ulcerative colitis resulting in the creation of an \u201cileal pouch:\u201d after removal of the colon and rectum, the rectal vault is reconstructed by creating a looped pouch of the terminal ileum. This ileal pouch then serves as a neo-reservoir for the stool in an attempt to more closely approximate normal bowel habits for these patients. However, this process now changes the tissue environment for the ileal mucosa in the pouch. Even though the composition of the intestinal contents entering the pouch may not be considerably different than before, now the previously transitive luminal contents are subject to stasis, which results in an alteration of the environment for the ileal mucosa and can result in Chronic, low-level inflammation has been associated with colonic metaplasia, and has been implicated as a mechanism driving the alterations seen in the mucosal architecture Simulations were performed with SEGMEnT to demonstrate the plausibility of a hypothesis previously published in the literature that prolonged low-level inflammation, acting as a persistent perturbation to the signaling network, would lead to a change in the morphology of the epithelial layer SEGMEnT dynamically represents and integrates existing knowledge concerning homeostasis and inflammation in the ileum and provides a computational platform to augment the exploration of the cellular/molecular processes involved in intestinal wound repair, ischemia/reperfusion injury, and colonic metaplasia/pouchitis. SEGMEnT successfully replicates the dynamically stable morphology and cellular populations of the healthy ileum, while qualitatively matching the spatial distribution of molecular signaling gradients consisting with the existing qualitative histological criteria utilized and reported in the literature SEGMEnT follows in a line of prior spatially explicit computational models investigating the dynamics of cell populations and signaling within the intestinal crypts SEGMEnT incorporates and integrates the features seen in the spatial gut models concerning the Wnt/Notch pathways with the inflammatory components and processes seen in the gut inflammation models. As such, it is able to extend the scope of its representation to investigate how inter-pathway specific interactions can affect other pathways in the overall signaling network. This capability allowed the instantiation of a novel hypothesis concerning a link between inflammation and morphogenesis through the PTEN/PI3K pathway. Additionally, prior spatial gut models all utilized a fixed crypt topology (i.e. height/depth) upon which their cellular components moved, and therefore are not able to examine metaplasia, ischemia/reperfusion or injury and repair, all conditions that result in some distortion of the baseline crypt-villus architecture. SEGMEnT expands on these prior approaches by allowing for dynamic alteration of these critical histological dimensions; in this fashion it crosses over into some of the capabilities represented in the other arm of spatial crypt-villus modeling that is more focused on looking at factors that actually generate the tissue topology 2 area of tissue on a single processor with 2 GB of memory. Capturing the healing of surgical anastomosis or the \u201cpatchiness\u201d of inflammatory bowel exacerbations or environmental enteropathy will require the representation of substantially larger surface area of the gut; as such, current work is being done to implement SEGMEnT HPC to investigate the scaling issues associated with simulating physiologically/anatomically relevant areas and volumes of enteric tissue. SEGMEnT HPC is designed to represent arbitrarily large and customizable epithelial surfaces.SEGMEnT also allows the representation of multiple crypt-villus complexes and their associated external tissue structures, simulating significantly larger sections of intestinal tissue. The benefits of this have already been demonstrated in the simulations of healing local tissue injury, where a damaged villus is represented as being adjacent to the uninjured tissue involved in affecting it repair. The current version of SEGMEnT can represent up to 1.4 mmSEGMEnT is a work in progress, representing an instantiation of a minimally sufficient set of components and interactions to achieve a face valid representation of the mechanisms involved in maintaining the enteric mucosal architecture (morphogenesis) and its response to an initial set of perturbations (inflammation). The modular control organization of SEGMEnT has beenSEGMEnT is implemented using the agent-based modeling software, Repast Simphony 2.0 developed at Argonne National Laboratory \u22128 m) are aggregated by cells (spanning 10\u22126 m), which interact to form tissue (10\u22123 m2). This is also true with respect to temporal scales, where the time scales on which SEGMEnT operates span several orders of magnitude. Signaling events occur on a time scale from approximately 10\u22123 s to 1 s, while it can take \u223c103 s for the consequences of that event (the secretion of a protein) to manifest. An individual cell performs physical actions approximately every 103 s, and ultimately survives for \u223c104 s. SEGMEnT then makes the implicit assumption in the time it takes for a cell to perform a physical action, any signaling events that would occur in the region of space which the cell occupies will have already occurred; thus, simple time-delayed rules give similar results to a differential equation based model, but at a fraction of the computational cost. Explicit details regarding the underlying biology and modeling methodology can be found in the Supplementary Materials SEGMEnT is a knowledge-based model incorporating the inter-relationships between the various cellular and molecular entities present in the enteric tissue. Parameters for these relationships were extracted from the literature, when possible; fitting emphasized the relational qualities between processes. The multi-scale nature of the SEGMENT is apparent in the hierarchical ordering of events and components. Molecular events , Bone Morphogenetic Protein (BMP), Phosphotase and tensin homolog/phosphoinositide 3-kinase (PTEN/PI3K), Sonic Hedgehog Homolog (Hh), Tumor Necrosis Factor (TNF)-\u03b1, Interferon (IFN)-\u03b3, RIP Kinase, nuclear factor kappa-light-chain-enhancer of activated B cells (NF-\u03baB), Janus Kinase (JAK), Signal transducer and activator of transcription 3 (Stat3), and reactive oxygen species (ROSs), and Interleukin (IL) 6,10,13, and 15 signaling pathways. Full details of the implementation of these signaling relationships are presented in the Materials and Methods.(TIF)Click here for additional data file.Figure S2Simulation distributions of free Bone Morphogenetic Protein (BMP) and BMP binding to epithelial cells. Panel A shows the distribution of free molecular Bone Morphogenetic Protein (BMP) concentrations in SEGMEnT: free BMP is shown as blue, and having a uniform density throughout the tissue. This corresponds to histological data showing a uniform density of free BMP from the bottom of the crypt to the top of the villus (see llus see with sim(TIF)Click here for additional data file.Table S1Primary molecular components included in SEGMEnT.(PDF)Click here for additional data file.Table S2Rules for molecular interactions in SEGMEnT.(PDF)Click here for additional data file.Table S3Physical characteristics, published and derived time delays, and model-implemented time delays for signaling events involving molecular components included in SEGMEnT.(PDF)Click here for additional data file.Table S4Additional features and capabilities to be added to SEGMEnT.(PDF)Click here for additional data file.Text S1Detailed description of underlying biology and its implementation in SEGMEnT. These materials provide a detailed description of the biological processes, modeling assumptions and implementation of the biological knowledge into SEGMEnT. These materials also provide descriptions of how the simulation experiments were performed.(PDF)Click here for additional data file."}
+{"text": "Whether this translates into a clinical benefit in HIV-infected patients residing in malaria-endemic regions is unknown. We studied the incidence of malaria, as defined by blood smear positivity or a positive Plasmodium falciparum histidine-rich protein 2 antigen test, among 444 HIV-infected women initiating antiretroviral treatment (ART) in the OCTANE trial . Participants were randomized to treatment with PI-containing vs. PI-sparing ART, and were followed prospectively for \u226548 weeks; 73% also received cotrimoxazole prophylaxis. PI-containing treatment was not associated with protection against malaria in this study population.HIV protease inhibitors (PIs) show antimalarial activity The majority of HIV-infected individuals live in malaria-endemic regions, and available evidence suggests that the interaction between HIV and malaria infection is complex, synergistic and bidirectional. Reported effects include increased HIV replication resulting from immune activation in vitro activity against the two most important malaria parasites, Plasmodium falciparumP. vivaxin vivo activity against rodent malaria parasites Plasmodium falciparum-infected erythrocytes HIV protease inhibitors (PIs) have moderate To explore the effect of PI-based ART on HIV-infected people residing in malaria-endemic regions of sub-Saharan Africa we undertook a retrospective study examining the incidence of malaria in a group of women enrolled in AACTG 5208 P. falciparum histidine-rich protein two (HRP2) by antigen-capture immunoassay forms the basis of most rapid diagnostic tests for falciparum malaria. This water-soluble protein is released into the circulation of individuals infected with P. falciparum, and has been shown to persist in the circulation after clinical symptoms of malaria have resolved and parasites have been cleared from the circulation. It has been reported to remain in the blood for 7 days following treatment in 62\u201399% of patients, for 14 days in 35\u201398% of patients, and for 28 days in 27\u201392% Detection of The OCTANE study (AACTG 5208) consisted of two concurrent randomized trials; detailed methods and primary results have been published P. falciparum Histidine-rich protein 2 [HRP2]) was detected in the plasma samples that were collected at study visits. All available samples from each participant at the relevant sites were tested for HRP2 antigenemia using a commercially available ELISA kit . Each plasma sample was tested in duplicate as stated in the manufacturer's instructions with positive and negative controls on every plate. Evaluation of this kit before the study indicated that it was more sensitive than other commercially available plate-based HRP2 ELISA kits and was between 30 and 120 fold more sensitive than malaria rapid diagnostic kits (data not shown).The current study includes data obtained from participants enrolled at the six OCTANE study sites where malaria transmission has been reported to occur . Study subjects were considered to have malaria if they had a positive blood smear, a positive malaria rapid diagnostic test (RDT), or if malaria antigen (http://www.openepi.com). Multivariate analyses were not performed given the small numbers of samples with a confirmed diagnosis of malaria.As malaria was not detected in two of the study sites and some participants changed ART regimen and/or received cotrimoxazole, a drug with known prophylactic activity against malaria in HIV-infected populations HRP2 antigenemia was assessed by examining available plasma samples totaling 3,516 from 444 women. All available samples where a diagnosis of malaria had been made by blood smear, on-site rapid diagnostic test or HRP2 ELISA where also tested for malaria in our laboratory using immunochromatographic rapid diagnostic tests . An additional 113 samples from these 444 women were tested for malaria during the original study (on site blood smear or RDT). As blood smear slides were not retained these diagnoses could not be revalidated. Therefore, laboratory data for malaria were available from a total of 3629 samples from 444 subjects of the 3629 samples tested of study subjects were taking daily cotrimoxazole prophylaxis at the time of blood sampling . While tIn this study, we observed a low incidence of malaria as defined by positive malaria smears, RDTs, and antigenemia, and did not find that PI-based ART was associated with a lower incidence of malaria. Fifty three (20%) of the women in the study had at least one episode of laboratory-confirmed malaria over the study interval, 34 (64%) of these women were receiving PI-based ART at the time of malaria diagnosis .Although the results indicate that PI therapy did not exert a protective effect against malaria in this population, a number of circumstances that may have masked a protective effect should be considered. In the first instance, it is possible that the low numbers of malaria diagnosis made in our cohort underpowered the study and prevented the identification of a protective effect. While this study was predicted to have sufficient power to answer our question when it was first designed, there was a significant reduction in the prevalence of malaria in many parts of Africa in the interval between design and study execution The high rate of cotrimoxazole prophylaxis (80%) observed in our study population, an intervention with a protective effect against malaria in HIV-infected populations, may have also impacted our results by reducing the episodes of malaria. While pharmacokinetic interactions are also possible when drugs are co-administered, and are a particular concern with ritonavir, a drug well known to affect the pharmacokinetics of many drugs including antimalarials, an interaction of this drug with cotrimoxazole seems unlikely to be an explanation for any lack or antimalarial effect observed among subjects in the current study. Both groups receiving cotrimoxazole, regardless of their ART treatment regimen had reduced episodes of malaria .A pharmacodynamic interaction may be associated with the inability of PI-based ART to protect the current cohort of women from malaria infection. While the primary mode of action of cotrimoxazole is understood, the antimalarial mode of action of the PIs is still not known. A better understanding of the basis of the antimalarial effect of PIs may enable prediction of clinically significant pharmacodynamic interactions. Both cotrimoxazole and individual PIs may also have off-target effects that alter the activity of the other drug or additional drugs that may be used to treat HIV-infected patients with opportunistic pathogens. These interactions must be understood to ensure the use of the most effective drug treatment regimens. The ability of the PIs to modulate aspects of the immune system, decrease the expression of CD36 and interfere with the phagocytosis of parasitized erythrocytes Indirect antimalarial benefits, that were not examined in this study, including reduced cytoadherence"}
+{"text": "Circadian rhythms of behavior and physiology are generated by central and peripheral circadian oscillators entrained by periodic environmental or physiological stimuli. A master circadian pacemaker in the hypothalamic suprachiasmatic nucleus (SCN) is directly entrained by daily light-dark (LD) cycles, and coordinates the timing of other oscillators by direct and indirect neural, hormonal and behavioral outputs. The daily rhythm of food intake provides stimuli that entrain most peripheral and central oscillators, some of which can drive a daily rhythm of food anticipatory activity if food is restricted to one daily mealtime. The location of food-entrainable oscillators (FEOs) that drive food anticipatory rhythms, and the food-related stimuli that entrain these oscillators, remain to be clarified. Here, we critically examine the role of peripheral metabolic hormones as potential internal entrainment stimuli or outputs for FEOs controlling food anticipatory rhythms in rats and mice. Hormones for which data are available include corticosterone, ghrelin, leptin, insulin, glucagon, and glucagon-like peptide 1. All of these hormones exhibit daily rhythms of synthesis and secretion that are synchronized by meal timing. There is some evidence that ghrelin and leptin modulate the expression of food anticipatory rhythms, but none of the hormones examined so far are necessary for entrainment. Ghrelin and leptin likely modulate food-entrained rhythms by actions in hypothalamic circuits utilizing melanocortin and orexin signaling, although again food-entrained behavioral rhythms can persist in lesion and gene knockout models in which these systems are disabled. Actions of these hormones on circadian oscillators in central reward circuits remain to be evaluated. Food-entrained activity rhythms are likely mediated by a distributed system of circadian oscillators sensitive to multiple feeding related inputs. Metabolic hormones appear to play a modulatory role within this system. Behavior and physiology are regulated by a hierarchically organized system of circadian oscillators located in the brain and in most peripheral tissues and organs Figure . CircadiThe role of food intake in the regulation of circadian clocks was first revealed by studies of circadian activity rhythms in food-restricted rodents. Acute and chronic food restriction elicit well-known behavioral and physiological responses to maintain metabolic homeostasis. Acute deprivation recruits neural circuits that promote arousal and food seeking behavior. Chronic caloric restriction induces physiological adaptations to facilitate the extraction and storage of energy from ingested nutrients and to reduce energy expenditure. If caloric restriction is chronic and food availability is limited to a particular time of day, further adaptations can occur in the temporal regulation of metabolism and food seeking behavior. These adaptations involve entrainment of circadian clocks in the brain and in peripheral organs and tissues by stimuli associated with food intake.Physiology and behavior are regulated by circadian clocks that induce daily rhythms in synchrony with environmental cycles. In mammals, a master circadian clock is located in the suprachiasmatic nucleus (SCN) of the anterior hypothalamus Weaver, . The SCNad-libitum, behavior and physiology lose circadian organization. However, if food is provided once every 24 h in a reduced amount, food anticipatory activity rhythms emerge and circadian rhythms of physiology are restored for circadian regulation of food-anticipatory behavior, the neural and molecular mechanisms of this SCN-independent circadian function are not yet well-understood. The daily rhythm of food anticipatory activity exhibits canonical properties of circadian clock control should exhibit a daily rhythm that is induced by or is synchronous with scheduled feeding. The factor should be capable of shifting the phase of one or more food-entrained rhythms (a requirement for co-activation by 2 or more factors is possible). Blocking the factor may prevent shifting of one or more food entrained rhythms . To be considered a candidate as an output of FEOs responsible for driving food anticipatory activity (or other food entrained rhythms) the factor should exhibit a daily rhythm that correlates strongly with locomotor activity (or other rhythms), under a variety of conditions . Enhanced expression of the factor may increase the amplitude of food anticipatory activity (or other rhythms), while blocking the factor should attenuate or prevent expression of food anticipatory activity (or other rhythms). Attenuation could be modest or negligible if there are multiple redundant output signals. Food anticipation could also be enhanced or attenuated by factors that are downstream from FEOs, or that converge downstream via other pathways. Therefore, the observation that manipulation of a factor alters the amount of food anticipatory activity does not alone permit a strong conclusion that the factor is either an input or output of FEOs.The synthesis and secretion of corticosterone (CORT) from the adrenal gland is under control of descending neural (autonomic) and hormonal (adrenocorticotropin) signals, interacting with circadian oscillators intrinsic to cells of the adrenal gland in lateral hypothalamic orexin neurons, the VTA and the nucleus accumbens shell . All of these areas express circadian rhythms of clock gene expression, and are innervated by dopaminergic projections from the VTA at a fixed time of day, with regular chow available ad-libitum , correlated positively with locomotor activity counts during the preceding 3 h is synthesized in the periphery and in the brain. In the periphery GLP-1 is derived from preproglucagon synthesized in L cells of the intestine and alpha cells of the pancreas and melanocortin-4 (McR4) receptors. One population of arcuate neurons synthesizes POMC, a precursor for \u03b1, \u03b2, and \u03b3-melanocortin-stimulating hormones (MSH) which function as agonists at Mc3R and Mc4R receptors and enhanced levels have been reported in mice lacking both Mc3 receptors and leptin assessed or to the use of knockout mice obtained from different sources remains to be evaluated.The melanocortin system plays a critical role in the regulation of metabolism and feeding. \u03b1-MSH potently inhibits feeding are derived from prepro-orexin synthesized exclusively in a population of neurons distributed within the dorsomedial, perifornical and lateral hypothalamic areas could induce daily temporal windows of vulnerability to excessive reward seeking behavior. Second, feeding stimulated at irregular mealtimes could result in disrupted timing of metabolic processes, with negative consequences for metabolic functioning and health (Arble et al., The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Epilepsy surgery is highly effective in treating refractory epilepsy, but requires accurate presurgical localization of the epileptogenic focus. Briefly, localization of the region of seizure onset traditionally dependents on seizure semiology, scalp EEG recordings and correlation with anatomical imaging modalities such as MRI. The introduction of noninvasive functional neuroimaging methods, including single-photon emission computed tomography (SPECT) and positron emission tomography (PET) has dramatically changed the method for presurgical epilepsy evaluation. These imaging modalities have become powerful tools for the investigation of brain function and are an essential part of the evaluation of epileptic patients. Of these methods, SPECT has the practical capacity to image blood flow functional changes that occur during seizures in the routine clinical setting. In this review we present the basic principles of epilepsy SPECT and PET imaging. We discuss the properties of the SPECT tracers to be used for this purpose and imaging acquisition protocols as well as the diagnostic performance of SPECT in addition to SPECT image analysis methods. This is followed by a discussion and comparison to F-18 FDG PET acquisition and imaging analysis methods. Epilepsy surgery can be highly effective in treating refractory epilepsy if performed in properly selected patients with well-delineated ictal foci . The greThe introduction of noninvasive neuroimaging methods, such as single-photon emission computed tomography (SPECT), positron emission tomography (PET), and magnetic resonance imaging (MRI), has dramatically changed presurgical epilepsy evaluation. These imaging methods have become powerful tools for the investigation of brain function and an essential part of the evaluation of epileptic patients. Of these methods, only SPECT has the practical capacity to image blood flow functional changes that occur during seizures in the routine clinical setting. Although functional MRI (fMRI) could, in theory, be used for this purpose, it is impractical due to patient movement during most types of seizures, a problem that is overcome by the timing and technique of SPECT imaging. In this paper, we review basic principles of epilepsy SPECT, SPECT tracers, imaging acquisition, the diagnostic performance of SPECT, and imaging analysis methods. This is followed by a discussion and comparison to PET tracer acquisition methods and imaging analysis methods.SPECT radiopharmaceuticals used for measuring regional cerebral blood flow (rCBF) are lipophilic agents which are transported from the vascular compartment to the normal brain tissue compartment by diffusion and are distributed proportionally to regional tissue blood flow. After this first phase of transport (during the first pass through the brain), the tracer is essentially irreversibly trapped in the tissue compartment and does not change its relative distribution over time. These properties are essential in ictal SPECT, since the tracer is essentially trapped during the first few seconds after injection and maintains that distribution for hours, allowing the patient to be stabilized and imaged at rest, but the emission of photons still reflects the tracer distribution pattern seconds after injection. The two major blood flow agents used in brain SPECT imaging are technetium-99m hexamethyl-propylene amine oxime (Tc-99m HMPAO) and Tc-99m ethyl cysteinate dimer (Tc-99m ECD) , 4.To understand the uptake mechanism of Tc-99m hexamethyl-propylene amine oxime (Tc-99m HMPAO), a three-compartment analysis model can be used for analysis . In thisThe second tracer commonly used in brain SPECT to measure regional cerebral perfusion is Tc-99m ECD . This raSeveral studies reported higher extracerebral background activity with Tc-99m HMPAO than with Tc-99m ECD due to the slower clearance rate of Tc-99m HMPAO from the blood \u201310. ThisLee et al. demonstrated that Tc-99m HMPAO has a similar localization rate (82%) to that of Tc-99m ECD (71%) in patients with TLE , with a higher degree of hyperperfusion in the Tc-99m HMPAO group . For patIn-single photon emission computed tomography (SPECT) of the brain, dual and triple-head Anger gamma cameras are now in common use and can provide very high resolution images extrinsic resolution) . The resIn order to perform these studies, Tc-99m HMPAO must be readily available at the patient's bedside allowing for rapid injection by a trained technologist or other personnel immediately available at the time of seizure onset. The ictal injection should be performed in a rapid bolus fashion such that the entire tracer is injected during the first onset of seizure (ictus). The patient is then sedated and transferred to the SPECT scanner within several hours to acquire the brain SPECT scan which will indicate the regional cerebral perfusion at the time of ictus. This method is feasible since Tc-99m HMPAO is irreversibly trapped in the epileptogenic hyperemic region at the time of seizure, and during the period between injection and scan, there is essentially no redistribution. The subsequent scan will still show hyperemia (increased tracer counts) in the region of the epileptogenic focus.The sensitivity of ictal SPECT is theoretically higher than that of interictal SPECT because of the large CBF increase from the baseline that occurs during the ictal phase . This isThe traditional qualitative visual analysis of a SPECT perfusion study involves comparison of each cerebral region with the contralateral side. Limitations of interpretation of SPECT by conventional visual assessment include difficulty in the detection of subtle changes that can be associated with inhomogeneous baseline perfusion patterns, variation in the amount of injected radioisotope, time of injection, and patient positioning . Also, tz score >+3).For a more objective and quantitative analysis, Zubal et al. proposed a subtraction method in which coregistered ictal and interictal images were normalized based on total pixel counts in the brain and then subtracted from each other . Therefot or F statistic). Criteria for accepting voxels can be set for voxel height (p) and extent of contiguous cluster of voxels (k). For visualization of the results, a pseudocolor scale can be applied to accepted significant voxels, which are then overlaied in a semitransparent fashion onto the MRI of either the normative atlas or the patient's own MRI anatomy. The most recent version of SPM (SPM2) combines the general linear model to create the statistical map and the random field theory to make statistical inference about regional effects. Software for SPM analysis is available as Freeware from the Welcome Department of Imaging Neuroscience . Although the SPM package includes most of the programs required for image processing and analysis, visualization of images and some processing or image editing and reformatting may require more dedicated biomedical image processing software. Statistical parametric mapping refers to the construction and assessment of spatially extended statistical processes used to test hypotheses about functional imaging data. In rCBF SPECT or F-18 FDG PET image data analysis, this translates to methods to test hypotheses about regionally specific effects . When two image data sets are evaluated by SPM, all voxels contained within the scans are compared in the same space on a voxel-by-voxel basis using linear constraints to test hypotheses for specific focal effects using a univariate statistical test. The resulting statistical parameters are then assembled onto an image . Differences of one map compared with the map derived from the other scans are interpreted as regionally specific effects, attributable to some alteration in brain function from one scan to the other. The significance of these differences is assessed using statistical tests . FigureApproximately 10\u2009mCi F-18 FDG I.V is injected. The tomograph should be of the latest generation, multislice to cover the entire brain. The 3D acquisition mode should be used to accommodate lower dosimetry and to improve the count statistics of the data. Measured attenuation correction should be employed. The image should be reconstructed with the standard clinical reconstruction including all necessary corrections . A set of calibration phantoms including at the minimum the Hoffman brain phantom and the uniform cylinder should be run periodically to assess scanner stability . Subject conditions during the performance of PET scans should be fully characterized and standardized whenever possible. PET studies should be performed during \u201ca resting state\u201d . Procedures to minimize head movement during scans should be implemented using well-tolerated head immobilization procedures. The use of medications and the behavioral state of patients at the time of the scan also should be carefully considered.F-18 FDG PET is typically seen in patients with hippocampal sclerosis on MRI. This is illustrated in Presurgical evaluation and the surgical treatment of nonlesional neocortical epilepsy is one of the most challenging areas in epilepsy surgery. Fluorodeoxyglucose (FDG) PET shows hypometabolism in a majority of patients with nonlesional temporal lobe epilepsy (TLE), even in the absence of hippocampal atrophy. In extratemporal epilepsy where the MRI scan is normal, there is a less likely chance to find the epileptogenic focus by F-18 FDG PET hypometabolism alone. Interictal FDG PET studies will have limited usefulness in the presence of multiple hypometabolic regions in patients with multifocal brain syndromes, such as in children with tuberous sclerosis. Such children with multifocal lesions represent a special challenge during presurgical evaluation. The goal of functional imaging in these cases is to identify the epileptogenic lesions and differentiate them from nonepileptogenic ones. In this context, ictal rCBF SPECT may have useful clinical applications but may be technically challenging when seizures are short, as is particularly common in frontal lobe epilepsy and in children who have infantile spasms that are associated with multifocal cortical dysplasia . FigureAlthough FDG PET images can be analyzed visually, additional information can be obtained by semiquantitative analysis, such as left-to-right asymmetry indices. Semiquantitative analysis using the asymmetry index is generally considered significant when a difference of 15% or greater exists between the affected and contralateral sides . QuantitAlthough regional hypometabolism is typically present in the temporal lobe ipsilateral to EEG seizure onset, other brain regions may also show patterns of glucose hypometabolism . For exaFDG PET reflects glucose metabolism of the brain as an indirect measure of neuronal function while SPECT represents cerebral blood flow changes. Although PET has higher spatial resolution and lower background activity, one of the limitations of FDG-PET for the evaluation of epilepsy during the ictal phase is its low temporal resolution. This is due to a tracer uptake period (30\u201345 minutes) that is significantly longer than the average seizure duration (1-2 minutes), which leads to a mixture of interictal-, ictal-, and postictal-phase images, and this makes only interictal PET feasible. FDG is glucose analogue which is actively transported into metabolically active cells and then temporarily held in the intracellular space due to phosphorylation by hexokinase. However, this is a reversible event, and FDG uptake is both slower and shorter lasting than incorporation of SPECT tracers. Therefore, PET is used to obtain clinical information during the interictal phase. The sensitivity of interictal PET is higher than that of interictal SPECT, as described in a previous meta-analysis by Spencer . One potIctal SPECT and interictal FDG-PET were found to have similar sensitivity , 37\u201339. The importance of precise localization using a statistical analysis method (such as SPM) and an automated registration mapping method (such as AIR) is illustrated in The introduction of noninvasive neuroimaging methods, such as single-photon emission computed tomography (SPECT), positron emission tomography (PET), and magnetic resonance imaging (MRI), has dramatically changed presurgical epilepsy evaluation. Previous studies have demonstrated the diagnostic performance of each imaging modality and the value of quantitative analysis of ictal and interictal regional cerebral blood flow SPECT and F-18 FDG PET images. Overall, ictal SPECT has the highest diagnostic sensitivity for both temporal and extratemporal lobe epilepsy, and PET is known to have high sensitivity for the evaluation of extratemporal lobe epilepsy. PET can be employed as a complimentary imaging modality to SPECT in neocortical epilepsy. Quantitative image analysis can further improve diagnostic accuracy of ictal and interictal SPECT and F-18 FDG PET."}
+{"text": "The cerebellum input stage has been known to perform combinatorial operations on input signals. In this paper, two types of mathematical models were used to reproduce the role of feed-forward inhibition and computation in the granular layer microcircuitry to investigate spike train processing. A simple spiking model and a biophysically-detailed model of the network were used to study signal recoding in the granular layer and to test observations like center-surround organization and time-window hypothesis in addition to effects of induced plasticity. Simulations suggest that simple neuron models may be used to abstract timing phenomenon in large networks, however detailed models were needed to reconstruct population coding via evoked local field potentials (LFP) and for simulating changes in synaptic plasticity. Our results also indicated that spatio-temporal code of the granular network is mainly controlled by the feed-forward inhibition from the Golgi cell synapses. Spike amplitude and total number of spikes were modulated by LTP and LTD. Reconstructing granular layer evoked-LFP suggests that granular layer propagates the nonlinearities of individual neurons. Simulations indicate that granular layer network operates a robust population code for a wide range of intervals, controlled by the Golgi cell inhibition and is regulated by the post-synaptic excitability. Understanding how the granular layer process information appears critical to understand the cerebellar function, since signals coming into upper cortical layers are provided by the granular layer. The granule cells form the largest neuronal population in the mammalian brain and regulate information transfer along the major afferent systems to the cerebellum. The granule layer receives excitatory input primarily from mossy fibers and inhibition via synapses from interneurons like Golgi cell. Mossy fiber input excites both the granule cell and inhibitory interneurons like the Golgi cell. The granule cell is a small neuron with 3\u20135 dendrites. Timing in the cerebellar granular layer plays a key role via passage-of-time representation (POT), learning or adaptation to movements O is resting [Ca], and F is the Faraday's constant. [Ca] is the calcium channel dynamics as reported in . We also simulated the \u201cspot\u201d on the AdEx spiking neuron based network model. The speed in Adex model (data not shown) and detailed biophysical model are different. However, AdEx network model could reproduce the spiking patterns whereas the detailed model could reproduce both firing and ionic channel properties such as extracellular evoked potentials .Click here for additional data file."}
+{"text": "Utilizing tumors as a source of vaccination antigens in immunotherapy has demonstrated promising results with minimal toxicity. Unfortunately, researchers have failed to overcome the overpowering suppressive effects of the tumor microenvironment. Recently we demonstrated that the proximity of the vaccination injection site to the primary tumor site dictates CD8 T-cell priming within the draining lymph node. Glioma-bearing mice vaccinated in tumor-distal sites had increased functional responses and survived significantly longer than glioma-bearing mice vaccinated in tumor-proximal sites due to immunosuppressive properties of the tumor inhibiting the priming of a tumoricidal response in the draining lymph nodes. Tumor induced immunosuppression is a complex interplay between the tumor and its surrounding microenvironment. We discovered an excess of soluble CD200 protein in the cerebral spinal fluid and cervical lymph nodes in tumor bearing mice. CD200 has been well characterized to be immunosuppressive in multiple graft rejection models, but has not been clearly defined as a factor in tumor-induced suppression. CD200 is highly expressed on a variety of human tumors including melanoma and glioblastoma and is co-expressed on tumor stem cells. CD200 is thought to be a mechanism by which these cells escape immune surveillance. Researchers have shown that specific peptide domains within the CD200 protein have antagonist activity (act as competitive inhibitors for CD200) for the CD200R. Together these data lead us to the development of our central hypothesis that tumor-induced immunosuppression is reversible using select competitive inhibitors of CD200. We have synthesized several competitive inhibitors by inoculating mice with tumor lysate vaccines. Preliminary data show that these inhibitor peptides derived from CD200 reverse immune suppression within lymph nodes, significantly extending survival of vaccinated glioma GL261-bearing and breast carcinoma EMT6-bearing mice. Due to the homology between human and mouse CD200, we further hypothesize that the use of CD200 inhibitors will be translatable to human cancers. IMPACT: This study is designed to elucidate and overcome the mechanism of tumor-induced immunosuppression and has major implications for the design of translational research approaches and future clinical trials. If our hypothesis is correct, the use of a competitive inhibitor may overcome the suppressive properties of the tumor in both the sentinel lymph nodes as well within the tumor microenvironment, ultimately leading to the development of novel therapeutics that increase the efficacy of cancer immunotherapy."}
+{"text": "Cross-sectional and longitudinal sequence analysis at both the population and individual level have facilitated tracking of the HCV epidemic across the world and enabled the development of tests of viral diversity in individual patients in order to predict spontaneous clearance of HCV and response to treatment. Immunological studies in HIV-positive cohorts have highlighted the role of the CD4 Studies of the natural history of acute hepatitis C virus (HCV) infection have been restricted in number due to the silent nature of early infection. Insights have been gained from studies in humans and the chimpanzee model, but these have been limited in size due to the lack of availability of subjects and restrictions on the use of primates in laboratory experiments. The global rapid rise of acute HCV in human immunodeficiency virus-1 (HIV-1)-infected men who have sex with men (MSM) is providing the opportunity to study the natural history of acute HCV infection in greater detail and on a larger scale than has been possible previously. Understanding the determinants of spontaneous clearance and response to treatment is important and may provide opportunities for vaccine development as well as new treatment strategies. While the impact of HIV on the evolution of HCV should not be underestimated, new insights from studies in the HIV-positive population are likely to apply also to HIV-negative patients with HCV. We review advances in the understanding of the evolution of HCV in HIV-infected patients at a population and individual level and discuss how further knowledge may be gained from the ongoing study of such patient cohorts.Reports of sexually transmitted acute HCV infection occurring in HIV-positive MSM in The Netherlands, France, Germany, Switzerland and the UK first appeared in the scientific literature between 2004 and 2005 .This remarkable rise in the incidence of acute HCV in HIV-positive MSM is continuing and is likely to herald a serious health burden over the coming years. Already, infection with HCV is emerging as a major cause of morbidity and mortality in individuals infected with HIV and is set to surpass AIDS-defining illnesses as a cause of death in patient populations who have access to highly active antiretroviral therapy . Surprisingly, while intravenous drug use is a risk factor in a minority of cases within each cohort, statistically, the strongest risk factors for transmission of HCV are unprotected anal sex and the use of permucosal (but not intravenous) recreational drugs had a lower peak VL and a shorter time to peak viraemia in evolving spontaneous clearance than progressing infection. In humans, viral clearance usually occurs within 3 months of diagnosis in both HIV-infected and uninfected cohorts and the viral RNA polymerase does not have proof-reading capacity so the possibility of variation within the HCV genome is extremely high (HCV replicates rapidly (the estimated daily production of virus is 10dN) to synonymous substitutions per synonymous site (dS); the dN/dS ratio. HCV may be subject to positive (dN/dS >1), purifying (dN/dS <1) or neutral (dN/dS\u200a=\u200a1) selection pressures and these may change at different times during infection. The dN/dS ratio model relies on the assumption that silent synonymous mutations are not subject to selection pressure. While these do not result in amino acid changes, regions of the genome that display synonymous variation may have secondary non-coding functions. HCV core and NS5B RNA, for example, contain multiple stem\u2013loops that are found in all HCV genotypes throughout both regions, as well as several strikingly conserved unpaired regions, one of which coincides with a region of the genome to which ribosomal access is required for translation initiation and measures of diversity such as the Hamming distance (the mean number of amino acid differences between strains) may be used to quantify the composition of the quasispecies population. Selection pressure can be quantified by examining the ratio of non-synonymous substitutions per non-synonymous site , a 28 aa structure within the HCV E2 envelope protein (dN/dS <1) is the major force moulding viral population structure at this time in HIV-negative or agammaglobulinaemia exhibit lower genetic diversity, however, due to a lack of positive immune selection pressure . This supports the hypothesis that individuals who acquire HCV sexually are subject to a smaller, less diverse inoculum, possibly due to local effects at the mucosal level, although the effect of recreational drugs on the immune system could also partly explain this difference.HIV-infected patients with sexually acquired HCV are more likely to spontaneously clear infection than those infected via intravenous drug use and the central nervous system ; the E2 HVR-1 and the IFN sensitivity determining region (ISDR) within NS5A . The rol+ and CD8+ acquired immune response.The key role of both innate and acquired immune responses in the control of early HCV infection is supported by a large body of evidence are associated with spontaneous clearance and response to treatment in HIV-positive and -negative individuals cell responses are also strongly associated with outcome during acute HCV and DQB1*0301 (OR\u200a=\u200a2.22) are associated with spontaneous resolution of acute HCV may be found within the viral quasispecies in the HCV structural and NS proteins (+ selection pressure is as much as 32\u200a%; this is significant, but lower than that observed in early HIV infection (30\u201360\u200a%; + responses are weaker (This is important, as CD8de novo escape variants and compartmentalization of the virus. The key role of the CD4+ response in controlling infection is highlighted in HIV-positive cohorts. Many questions remain unanswered however. Firstly, the predictive role of baseline viral diversity in defining spontaneous clearance may be increased using techniques in which viral genetic diversity may be assessed in greater depth. Such analyses may also assist in predicting the response to treatment. The time at which the quasispecies diversity reaches a threshold level may define the suitability and timing of treatment and with the advent of newer treatments for HCV such as the protease inhibitors bocepravir and telapravir could potentially be used to target treatment for appropriate individual patients. Finally, the availability of larger cohorts of patients may facilitate the definition of particular protective epitopes which may be used in future vaccine development.The emerging epidemic of acute HCV in HIV-positive MSM has allowed the study of acute HCV infection on a large scale. Studies of viral evolution have shown that immune control of infection is hampered by rapid diversification due to switching dominance of viral quasispecies, superinfection, generation of"}
+{"text": "Recent literature reports an increased incidence of venous thrombosis following thalidomide use in the treatment of diseases with disease-related thrombotic risks such as malignancy, as well as concomitant use with chemotherapy and/or systemic corticosteroids. We report a case of deep vein thrombosis (DVT) and pulmonary embolism (PE) following thalidomide use in a patient with erythema nodosum leprosum (ENL) reaction who was concurrently treated with prednisolone, as well as a review of relevant literature. The benefit of the immunomodulatory effects of thalidomide was discovered accidentally in 1965 when it was given to patients with leprosy as a sedative to relieve their suffering. Subsequently, researchers noticed an unexpected clinical improvement in the signs and symptoms of ENL. Since then, the off-label use of thalidomide has become increasingly popular due to its effectiveness in the treatment of a variety of malignant and non-malignant conditions refractory to other treatments. Although common adverse effects of thalidomide therapy are well-documented in literature since its introduction, some of the uncommon risks associated with its use are still being discovered. In the recent past, there has been an increased incidence of adverse events being reported in patients treated with thalidomide including thromboembolic complications such as deep vein thrombosis (DVT) and pulmonary embolism (PE). Many studies have reported thomboembolic events with thalidomide when used in combination with multi-drug chemotherapy regimens for the treatment of multiple myeloma ,3A 60-year old man from Sri Lanka presented with a history of sudden onset breathlessness and right sided pleuritic chest pain. 5 days before he had developed a painful swelling of his right leg while he was being treated in the hospital for recurrent episodes of ENL. 3 years ago he was diagnosed to have lepromatous leprosy following a positive slit skin smear for mycobacterium leprae. He was commenced on World Health Organization (WHO) multi-drug therapy (MDT) regimen for multi-bacilary (MB) leprosy, which was complicated by type II lepra reaction (ENL) with right sided panuveitis and treated with oral prednisolone 30 mg/day with gradual tapering to 10 mg/day. He continued to develop recurrent episodes of ENL reactions since the completion of MDT-MB which was managed only with prednisolone. 3 months before the current admission he was started on a second course of MDT-MB treatment for new skin nodules with a positive slit skin smear for mycobacterium leprae. 3 weeks before he was commenced on thalidomide 100 mg twice daily in addition to oral prednisolone of 15mg per day for refractory ENL. He did not have recent major surgery, prolonged immobilization or recent diagnosis of any malignancy. There was no history suggestive of past venous or arterial thrombosis and tendency to develop thrombosis in his family.On examination he was dyspnoeic at rest without central cyanosis. He had leonine facies and generalized erythematous skin with multiple nodules. His right leg was swollen with pitting ankle oedema figure while ha3 which normalized following withdrawal of thalidomide. His liver and renal function tests were within normal limits.During initial evaluation a venous doppler ultrasound of the lower limb confirmed a deep vein thrombosis in the right femoral vein. Subsequently a computed tomography pulmonary angiography (CTPA) confirmed pulmonary emboli in the right and left main pulmonary arteries with right lower lobe lung collapse and a mild pleural effusion figure . His iniHe was started on enoxaparin and warfarin concomitantly and the target INR of 2.5 was achieved on day 7. Thalidomide and anti leprosy therapy were stopped temporarily while low dose corticosteroid being continued. After one week his dyspnoea and general condition improved.Thalidomide was first approved in 1992 for treatment of ENL by the Federal Drug Authority and its availability has led to its therapeutic use and approval for multiple myeloma, as well as its off-label use in several other diseases such as crohn's disease, lupus erythematosus, and solid organ malignancies of kidney, brain and breast. The exact mechanism of action of thalidomide remains incompletely defined and likely differs depending on the clinical entity treated. It appears to have several immunomodulatory properties, including suppression of TNF-[alpha] production, down-regulation of cell-surface adhesion molecules involved in leukocyte migration, decreasing circulating helper T cell to suppressor T-cell ratio, and inhibition of IFN-[alpha], all of which may play a role in the treatment of ENL. While teMajority of data on thalidomide and thromboembolism currently comes in the cancer setting, particularly in multiple myeloma, and particularly in combination with chemotherapeutic agents. The poteThe Research on Adverse Drug events And Reports (RADAR) project identified 695 reported cases of venous thromboembolism (VTE) between 1998 and 2006 among cancer patients on treatment that include chemotherapy and/or dexamethasone with thalidomide. [Presently, there are no guidelines on the optimal antithrombotic prophylaxis in the non-cancer clinical setting for the use of thalidomide. Although the pro-thrombotic action of thalidomide in the cancer setting has been accepted, there seems to be a similar and well documented risk in the non-cancer setting as well, which could lead to life-threatening complications such as in our patient. The potential thrombotic risk in the non-cancer setting of thalidomide should be emphasized due to following reasons; oral corticosteroids being commonly used in dermatological and various non-cancer conditions; reports of thromboembolic events appear to be spontaneous and symptomatic; and the majority of thromboembolic events develop shortly after initiation of therapy, most within the first eight weeks as in our patient. The potential risks in the off-label use of thalidomide in the non-cancer setting should be emphasized and extrapolating from studies done in multiple myeloma, the use of antithrombotic prophylaxis may be effective when thalidomide is used in settings such as ENL.Written informed consent was obtained from the patient for publication of this case report and any accompanying images. A copy of the written consent is available for review by the Editor-in-Chief of thrombosis journal.The authors declare that they have no competing interests.RA carried out the literature search and drafted the manuscript; WB did the critical revision for important intellectual content in the manuscript and given the final approval of the version to be published; RC helped substantially in literature search and drafting the manuscript. All authors read and approved the final manuscript."}
+{"text": "An understanding of short-term memory requires models of neural networks which are able to sustain activity in the absence of external input for several seconds. About half a century ago, predicte"}
+{"text": "Many current DNA microarray and other high-throughput data meta-analysis studies concentrate on deriving a concordant list of genes across many experiments to discover the \"true\" genes responsible for a particular disease process or biological pathway or cellular response Figure . HoweverWe describe a meta-analysis approach that allows comparison and contrast of gene lists at the level of categorical annotation (pathway or Gene Ontology annotations). This categorical evaluation compares enriched annotations between gene lists Figure , and disThe approach was tested using two gene lists, genes involved in the response to denervation in muscle (a literature compendium), and in skin . Using the categorical comparison highlights known biological processes that are common in the two cases, while also allowing one to easily see areas of difference that are not apparent from examining the gene lists alone.categoryCompare is available as a Bioconductor package, and a web interface (using RApache) has also been developed to facilitate use in the wider research community."}
+{"text": "Understanding the ecological consequences of roads and developing ways to mitigate their negative effects has become an important goal for many conservation biologists. Most mitigation measures are based on road mortality and barrier effects data. However, studying fine-scale individual spatial responses in roaded landscapes may help develop more cohesive road planning strategies for wildlife conservation.Tyto alba and stone marten Martes foina). We addressed the following questions: 1) how highways affected home-range location and size in the immediate vicinity of these structures, 2) which road-related features influenced habitat selection, 3) what was the role of different road-related features on movement properties, and 4) which characteristics were associated with crossing events and road-kills. The main findings were: 1) if there was available habitat, barn owls and stone martens may not avoid highways and may even include highways within their home-ranges; 2) both species avoided using areas near the highway when traffic was high, but tended to move toward the highway when streams were in close proximity and where verges offered suitable habitat; and 3) barn owls tended to cross above-grade highway sections while stone martens tended to avoid crossing at leveled highway sections.We investigated how individuals respond in their spatial behavior toward a highway and its traffic intensity by radio-tracking two common species particularly vulnerable to road mortality (barn owl Mortality may be the main road-mediated mechanism that affects barn owl and stone marten populations. Fine-scale movements strongly indicated that a decrease in road mortality risk can be realized by reducing sources of attraction, and by increasing road permeability through measures that promote safe crossings. For many species, roads represent particularly strong barriers to migration, dispersal, and genetic exchange as a result of changes in habitat quality, mortality and avoidance behavior due to traffic intensity, noise, and road surface characteristics To date, there has been a considerable number of studies for a wide range of species that describe patterns of road mortality and barrier effects and the environmental variables that are associated with them, thus yielding substantial insights into how some road and landscape features promote those effects One way to improve our ability to estimate both road-kill and barrier effects and to optimize mitigation measures is to move from the description of their patterns and covariates toward the study of individual behavioral responses to roads and the environmental variables that influence them Tyto alba) and stone martens (Martes foina) are good examples of such species with distinct behavior and ecological requirements. The barn owl is the most widely distributed owl species and is usually found in open habitats such as farmlands and grasslands associated to humanized areas Some species are particularly sensitive to road-related features resulting in an almost absolute avoidance of roads versus olfactory). Barn owls may tend to avoid noisy highways whereas stone marten may ignore them. We expected habitat selection and movement properties in the vicinity of the highway to be strongly affected by traffic intensity followed by habitat suitability. Finally, suitable and continuous habitat close to the highway may explain preferences in the location of crossing events for both species. Additionally, our a priori expectation was that road features at crossing and road-kill sites should be similar if the probability of being killed was only affected by the individual crossing decisions. All in all, this information should allow for the identification of more efficient measures to minimize both barrier effects and the risk of mortality.In this paper we investigate how individuals responded in their spatial behavior towards a highway and its traffic at different spatial resolutions . We used the barn owl and the stone marten to help identify the sources of disturbance and attraction that may not be directly evident from the patterns of road-mortality. Specifically, we assessed 1) how highways affected the species home-range location and size in the immediate vicinity of these structures, 2) which road-related features influenced their habitat selection, 3) the role of different road-related features on movement properties, and finally, 4) the characteristics associated with crossing events and road-kills. Although both species have high road mortality rates, different responses to highways may arise from their distinct use of sensory systems , the remaining individuals were two years or older . All stoD_highway\u00d7Traffic is included in the most supported model for both species; indicating that individuals tended to avoid the highway when the traffic intensity increased and 736 and 416 movements away from the highway (AWA) for barn owls and stone martens, respectively. As expected, the distance from the starting point of the segment to the highway was the most relevant factor for both species . Both spWhen considering only those movements in the vicinity of the highway we found that landscape variables describing habitat quality were related to movement directionality. The most supported model for both species demonstrated that movements toward the highway were explained primarily by a high percentage of suitable vegetation in the road verges . Stone martens were less vulnerable than barn owls, with r values of 0.002 and 0.007, for the same respective groups.Six of the marked barn owls and five of the marked stone martens crossed the highway during our monitoring. Barn owls crossed the highway 29 times during 1175 hours of radio-tracking, while stone martens did so on 70 occasions during 866 hours of monitoring. Therefore, barn owls and stone martens living next to the highway crossed it approximately 0.30 and 0.97 times per day (assuming 12 hour activity period), respectively. Using data from all marked barn owls we calculated a risk of being road-killed per crossing event Barn owl highway crossings were best explained by models containing verge features . The likelihood of a barn owl crossing a highway was higher at sections that were above-grade, with wide road verges and a higher proportion of herbaceous cover in the verge . Stone mBetween January 2003 and December 2009, BRISA recorded 11 barn owls and 13 stone martens killed within the section of highways covered by the home ranges of the individuals tracked. The comparison between the sites used for crossing and the sites where road-kills were found demonstrated that owls tended to be killed on highway sections where they preferred to cross but when traffic was high and 3. SA more integrated understanding of the relationship between road-kills and barrier effects can help provide for the more efficient management of roads and their environmental impacts. We explored this integration by investigating the individual behavioral responses towards roads at different spatial resolutions in two species commonly found as road casualties, providing valuable information on the factors associated with the risk of mortality The first response of individuals towards highways occurs when establishing their home ranges. Our study shows that if there is available habitat, barn owls and stone martens may not avoid locating their home ranges in the vicinity of the highways, at least at the traffic volumes we observed. However, given the location of territories, highways are not barriers to movement but may be acting as an artificial home range boundary for barn owls. In fact, there are many examples of species using linear structures to define boundaries As expected, barn owls and stone martens used those areas with a higher habitat quality, including those in the vicinity of the highways. Interestingly, traffic intensity affected the habitat use of both species, but seems to have no influence on the decision to cross or move next to the highway. Stone martens and barn owls in particular relied greatly on their auditory system to locate prey - a critical factor in hunting Both species avoided using the vicinity of the highway when traffic intensity was high. Nevertheless, individuals moved towards the highway when in close proximity to streams and in places where verges offered suitable habitat, i.e., locations at which they may encounter a high abundance of small mammals Barn owls, on the other hand, seem particularly vulnerable to be killed when crossing highways, even though they crossed less often than martens. Some highway sections may be functioning as attractive sinks, especially those with suitable verges (wide with herbaceous cover) and the ones at which barn owls tend to cross (above-grade sections). Barn owls frequently locate their prey by flying only 1\u20133 meters above the ground 2 for barn owls 2 for stone martens The crossing and mortality rates of the individuals monitored during our study allowed us to estimate the risk of being killed at each crossing event, which in turn can be translated into a potential mortality rate of 48\u201396 barn owls and 70\u2013245 stone martens per 100 km of highway each year , representing suitable habitat for the stone marten in Mediterranean regions of the Iberian peninsula This study was conducted along two highway sections under private concession by BRISA Auto- Estradas de Portugal, S.A. in Alentejo province, Southern Portugal: 69.5 km on the A2 for barn owls and 18.7 km on the A6 for stone martens . Both hiBetween April 2008 and September 2009 we marked and radio-tracked 11 barn owls and 11 stone martens. All individuals were captured at locations less than 1.5 km from the highways method to estimate the location and size of home-ranges using the LoCoH Home-range Generator for ArcGis 9.1 . The NNCH is an extension of the Minimum Convex Polygon (MCP) that identifies areas of high and low use density by taking the union of the MCP associated with k-1 nearest neighbors We evaluated the effect of road- and landscape-related features on the individual's locations by comparing the properties at the actual radio locations with the data obtained from a set of random points obtained within each home-range. We used the Schoener's Index (>1.6 and <2.4) to select independent locations D_highway\u00d7Traffic; Road-related features included average distance to the highway as well as to paved and unpaved roads. Traffic intensity was estimated as the number of vehicles that used the highway during the hour of the location. Because the influence of traffic is expected to decline as the distance to the road increases, we included an interaction term between highway traffic intensity and the distance to the highway, both obtained within the same hour with a binomial distribution and a logit link using independent locations/random points as the response variable We monitored movements to assess whether, and if so how, these animals responded to the highway and its traffic. With these analyses we attempted to: 1) identify at which distance from the highway and at which traffic volume individuals were more likely to move toward the highway within their home-ranges, and 2) evaluate which road- and landscape-related features influenced movement directionality next to the highway. Thus, for the first objective we defined movements as sections joining two successive locations and then classified sections in two types: move towards the highway (TOW) and move away from the highway (AWA). We extracted the following variables: 1) distance from starting point of the segment to the highway, 2) light-vehicles intensity and 3) truck traffic intensity. We designed five candidate models using all combinations of non-correlated variables. We ran binomial GLMM models with a logit link using the type of movement as the response variable and individuals as a random effect, as described in the habitat selection analysis.lS) and final location (lF) of the segment. We used the distance to the highway at the starting point (lD_highwayS) and the difference of each variable by subtracting the value of the variable at lS from lF for the following road variables: light-vehicles and truck traffic, and the percentage of suitable road verges (trees and shrubs for stone martens and herbaceous cover for barn owls). A similar procedure was performed for forest/cropland area and distance to streams (landscape variables).To examine which road- and landscape-related features influenced the directionality of the movements next to the highway, we selected all movement sections within twice the mean location error distance to the highway for each species. Then, we extracted information on the road- and landscape-related features within a buffer with a radius equal to the mean location error of the starting location road-related features fully explain their movements, 2) movements are affected only by landscape-related features, and 3) both types of variables explain their movements. We ran binomial GLMM models with a logit link using the type of movement as the response variable and individuals as a random effect, following the same procedures as described above.We used GLMM to describe highway crossings by comparing the crossing sites with random sites on the highway. Crossing sites were defined as the point where the line delineated by two consecutive locations (less than one hour apart) crossed the highway. We then described three groups of road-related variables within a buffer defined by the telemetry error . CandidaRoad-related variables were provided by BRISA and IgeoE (two-lane paved roads). Fieldwork was performed to describe road verges every 100 m . A land use map was prepared using Google Earth to identify forest, main streams, buildings, urban areas and unpaved roads. We calculated home-ranges using Arcview 3.2 and ArcGis 9.3 and the Animal Movement extension program Table S1i -minAIC), Wi (Akaike weight).Summary of the candidate habitat selection models for barn owl and stone marten: AIC (Akaike Information Criterion), \u0394AIC (AIC(DOCX)Click here for additional data file.Table S2i -minAIC), Wi (Akaike weight).Summary of the candidate models on barn owl and stone marten movements directionality within home-range: AIC (Akaike Information Criterion), \u0394AIC (AIC(DOCX)Click here for additional data file.Table S3i -minAIC), Wi (Akaike weight).Summary of the candidate movements directionality next to the highway models for barn owl and stone marten: AIC (Akaike Information Criterion), \u0394AIC (AIC(DOCX)Click here for additional data file.Table S4i -minAIC), Wi (Akaike weight).Summary of the candidate highway crossing models for barn owl and stone marten: AIC (Akaike Information Criterion), \u0394AIC (AIC(DOCX)Click here for additional data file.Table S5Summary of the candidate crossing vsi -minAIC), Wi (Akaike weight).. road-kill sites models for barn owl and stone marten: AIC (Akaike Information Criterion), \u0394AIC (AIC(DOCX)Click here for additional data file."}
+{"text": "HIV-1 is capable of evading CTL immune response through mutations in residues both within the epitopes and in sequences flanking the epitopes leading to viral diversity - a major obstacle for vaccine design. The present study aims at identifying the HLA-restricted CTL escape mutations primarily in the asymptomatic phase, and examining a correlation between such mutations and disease progression.gag sequences was inferred using the Neighbour-Joining method in MEGA 5 to monitor viral evolution and to study CTL escape. ELISPOT will be used for mapping of the immunodominant CTL epitopes in gag with an emphasis on identifying a possible correlation between such immune responses and disease progression.In a prospective study, a cohort of select seropositive drug-naive subjects categorized into one of three clinical groups , based on the archived clinical records at YRG CARE, are being monitored for two years with repeated sampling at 6-month intervals. The phylogenetic analysis of the gag have been sequenced from ten patients each at the base level. Escape mutants in several known immunodominant CTL epitopes have been identified in many of the subjects. The viral isolates phylogenetically clustered with the reference subtype C sequences. Additionally, multiple sequences from individual viral isolates clustered together indicating genetic-relatedness. Sequence analysis with REGA HIV-1 Subtyping Tool further confirmed the subtype C identity of all the viral isolates.Twenty plasmid clones of The preliminary data are suggestive of viral escape in the chronic phase of the viral infection."}
+{"text": "Intraosseous ganglia can affect the carpal bones of the hand and must be considered in the differential diagnosis of wrist pain. A 38-year-old female presented with a 14-month history of left wrist pain and a radiolucent cystic lesion was seen computed tomography (CT) scanning. Characteristic radiographic findings of a cyst in association with a fine sclerotic rim was apparent. We report an unusual presentation of a ganglion cyst in the lunate bone with excellent treatment outcome. Intraosseous ganglion cysts (IGC) of the carpal bones located in the lunate are among the rarely seen pathologic conditions. Carpal bA 38-year-old female presented with a 14-month history of left wrist pain and a radiolucent cystic lesion found on conventional radiographs and computed tomography (CT) scanning . The patThe intraosseous ganglion was described by Fisk in 1949 Intraosseous ganglion cysts of the carpal bones located in the lunate are one of the rarely seen pathologic conditions. This case had an unusual presentation in the lunate bone with excellent treatment outcome."}
+{"text": "Studies in both human patients and retinal degeneration mouse models have suggested that microglial cells play a role in pathogenesis; however, the underlying mechanism is unknown. In this study, Stephen Tsang and colleagues describe a novel mouse model in which the expression of circulating bone-marrow-derived microglial cells can be temporally and specifically controlled using the Mafia transgene. They report that ablation of the microglial cell population accelerates retinal degeneration, concomitant with an increase in the expression of certain inflammatory cytokines. These findings implicate inflammation as a key contributory factor in Goldmann-Favre syndrome and suggest potential targets for the development of therapies relevant to this and related neurodegenerative disorders."}
+{"text": "While neural synchronization is widely observed in neuroscience, neural oscillations are rarely in perfect synchrony and go in and out of phase in time. Since this synchrony is not perfect, the same synchrony strength may be achieved with markedly different temporal patterns of activity (roughly speaking oscillations may go out of the phase-locked state for many short episodes or few long episodes). Recent developments in the time-series analysis allowed for the investigation of the temporal variations of phase-locking with a high temporal resolution . ProvideRecent study of neuraHere we study neural oscillations recorded by EEG in alpha and beta frequency bands in a large sample of healthy human subjects at rest and during the execution of a simple motor task. While the phase-locking strength depends on many factors, dynamics of synchrony has a very specific temporal pattern: synchronous states are interrupted by frequent, but short desynchronization episodes. The probability for a desynchronization episode to occur decreased with its duration this type of patterning is a generic phenomenon in the brain, ii) it may have some functional advantages for oscillating neural networks receiving, processing, and transmitting information, iii) it may be grounded in some general properties of neuronal networks calling for the development of appropriate nonlinear dynamical theory.To further investigate these conjectures we numerically studied a system of two and three coupled simple neuronal models (of Morris-Lecar type) and showed that fast kinetic of ionic conductances leads to the emergence of short desynchronized events when the coupling strength is below the full synchronization threshold. We further show that coupled neural oscillators exhibiting short desynchronizations require smaller values of synaptic connections between them of weaker common synaptic input to induce specified levels of synchrony strength than oscillators of the same frequency exhibiting more prolong desynchronizations.The results may suggests that whenever a synchronous cell assembly must be formed to facilitate some function, short desynchronization dynamics may allow for efficient formation and break-up of such an assembly."}
+{"text": "Natural Killer (NK) cell responses are shaped by the integration of signals transduced from multiple activating and inhibitory receptors at their surface. Biochemical and genetic approaches have identified most of the key proteins involved in signal integration but a major challenge remains in understanding how the spatial and temporal dynamics of their interactions lead to NK cells responding appropriately when encountering ligands on target cells. Well over a decade of research using fluorescence microscopy has revealed much about the architecture of the NK cell immune synapse \u2013 the structured interface between NK cells and target cells \u2013 and how it varies when inhibition or activation is the outcome of signal integration. However, key questions \u2013 such as the proximity of individual activating and inhibitory receptors \u2013 have remained unanswered because the resolution of optical microscopy has been insufficient, being limited by diffraction. Recent developments in fluorescence microscopy have broken this limit, seeding new opportunities for studying the nanometer-scale organization of the NK cell immune synapse. Here, we discuss how these new technologies, super-resolution imaging and other novel light-based methods, can illuminate our understanding of NK cell biology. Natural Killer (NK) cells are classified as lymphocytes of the innate immune system because they are capable of directly killing virus-infected or transformed cells without prior priming. Therefore their responses need to be tightly regulated to allow proper distinction between diseased cells and neighboring healthy tissues. To ensure this, NK cell activation is shaped by the balance of signals induced from inhibitory and activating germline-encoded receptors expressed on their surface. Integration of signals from cell surface receptors takes place across a dynamic structured interface formed at the contact between NK cells and target cells \u2013 the immune synapse . AssemblNK cells are activated through surface receptors that can recognize signs of disease on other cells using different strategies. Receptors such as natural-killer group 2 member D (NKG2D) recognize ligands that are encoded in our genome and can be expressed or up-regulated on diseased or infected cells \u2013 a strategy sometimes called recognition of induced self. Alternatively, Fc receptor CD16 interacts with the Fc portion of antibodies to trigger an attack on opsonized target cells in the process of antibody-dependent cellular cytotoxicity (ADCC). Some other NK cell receptors, including natural cytotoxicity receptors NKp44 and NKp46, are less well understood. Engagement of activating receptors initiates downstream signaling cascades . Cells could be imaged when plated on activating surfaces, such as slides coated with antibodies or protein ligands, or protein-rich planar lipid bilayers. Particularly useful is that the protein composition of bilayers and coated slides can be precisely controlled \u2013 allowing quantitative studies regarding numbers of ligands used to stimulate immune cells. The application of TIRF microscopy to studies of immune synapses made it possible to observe proteins organize into discrete assemblies on a micrometer to sub-micrometer-scale, named microclusters, where (at least some) signaling takes place. Microclusters of TCR were detected and shown to be involved in signaling while migrating from the periphery of the synapse toward the center microscopy. This allows imaging of processes happening at the interface between a cell and a coverslip with strongly decreased background fluorescence . This study established that microclusters of KIR2DL1 within the inhibitory NK cell synapse moved from the synapse periphery to the center revealed how the cortical actin mesh \u2013 which underlies all cell surface membranes \u2013 is remodeled upon NK cell activation has been applied by several groups , focusedUsing TIRF microscopy as well as optical tweezers coupled with confocal microscopy, motile sub-synaptic vesicles containing LAT were seen to repeatedly move between clusters of SLP-76, where they decreased motility, highlighting that both vesicular LAT and surface clusters of LAT can play a role in TCR signaling . A subseClearly, much can be gained by the application of super-resolution imaging to the study of NK cell signaling \u2013 to detect small changes in protein localization, nanocluster size distribution and molecular density within clusters during the process of target cell recognition. Indeed, the importance of the nanoscale organization of receptors was highlighted in a recent study using fluorescence correlation spectroscopy (FCS) using murine NK cell models . By recoBy applying techniques drawn from chemistry and physics, it becomes possible to interrogate important problems in biology \u2013 such as deciphering spatial and temporal details of signal integration in NK cells. High and super-resolution imaging has already established the importance of the nanometer-scale organization of proteins in T and NK cell membranes for appropriate signaling outcomes. An important paradigm emerging from the studies described here is that interactions between receptors and signaling proteins are controlled in part by the dynamics of supramolecular clusters rather than by isolated protein\u2013protein interactions as once imagined. In the near future, super-resolution imaging techniques will reveal much about the spatial and temporal dynamics that underlie NK cells making appropriate decisions during immune surveillance of target cells.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Dynamin is a super-family of large GTPase proteins that polymerise during their biological activity. Dynamin polymers form around lipid tubes and contribute to the membrane fission and scission of nascent vesicles from parent membranes. Here we used the NCBI Gene Expression Omnibus (GEO) database and the BioGPS gene expression portal to study differential dynamin gene expression in normal human organs or tissues. From the GDS1096 and GDS596 dataset, we downloaded the relative expression levels of dynamin-related genes (presented as percentages), with respect to all of the other genes on the array (platform Affymetrix GPL96), which includes the best characterised human genes. The expression profiles of dynamin in the central nervous system (CNS) are clearly distinct from the expression profiles in the other organs or tissues studied. We found that the classical dynamin DNM1 and DNM3 genes reach their maximum expression levels in all normal human CNS tissues studied. This is in contrast to the expression profile in the other normal human organs or tissues studied, in which both dynamin DNM1 and DNM3 genes showed approximately 50% maximal expression. This data mining analysis supports the concept that there is a relationship between the synapse and the molecular function of dynamin, suggesting a new field of work in the study of neurodegenerative diseases. We have focused our attention on the expression profiling of dynamin genes in several normal human organs or tissues, using the NCBI Gene Expression Omnibus (GEO) database. We have chosen to study dynamin genes because dynamin is a super-family of GTP-binding mechanochemical proteins that are involved in fundamental processes, such as the scission of nascent vesicles from parent membranes and mitochondrial fusion and/or fission. In addii) the classical dynamins and dynamin-like proteins that tubulate and sever membranes and are involved in clathrin-mediated endocytosis and other vesicular trafficking processes ; (ii) the guanylate-binding proteins, which are induced by type II interferons and anti-inflammatory cytokines (GBP1 and GBP2); (iii) the proteins on the outside of the outer mitochondrial membrane that participate in mitochondrial fusion and contribute to the maintenance and function of the mitochondrial network (MFN1 and MFN2); (iv) proteins in the mitochondrial inter membrane space that are involved in mitochondrial fusion, and in which mutations in the gene are associated with optic atrophy type 1 (OPA1); and (v) Mx proteins, which are involved in resistance against viral infections (MX1 and MX2). Taken together, these proteins constitute a large set of GTPase proteins that polymerise within each group or family according to the dynamin molecular function GDS10. This daThe CNS consists of the brain and spinal cord, where synapses are the dynamic structures through which all nervous system signals traverse. Dynamin polymerisation in membrane fission is thought to play a significant role in the synapse (Gene Ontology GO:0003373) which is suggestive of the concept of a relationship between synapses and dynamins. SeveralThe authors declare that they have no competing interests.AR carried out the downloading of gene expression data from the NCBI-GEO database, helped design the study, and contributed to writing the manuscript. LA wrote the manuscript and helped design the study. Both authors read and approved the final manuscript."}
+{"text": "Neurons in sensory pathways exhibit a vast multitude of adaptation behaviors, which are assumed to aid the encoding of temporal stimulus features and provide the basis for a population code in higher brain areas. Here we study the transition to a population code for auditory gap stimuli both in neurophysiological recordings and in a computational network model. Independent component analysis (ICA) of experimental data from the inferior colliculus of Mongolian gerbils reveals that the network encodes different gap sizes primarily with its population firing rate within 30 ms after the presentation of the gap, where longer gap size evokes higher network activity. We then developed a computational model to investigate possible mechanisms of how to generate the population code for gaps. Phenomenological (ICA) and functional (discrimination performance) analyses of our simulated networks show that the experimentally observed patterns may result from heterogeneous adaptation, where adaptation provides gap detection at the single neuron level and neuronal heterogeneity ensures discriminable population codes for the whole range of gap sizes in the input. Furthermore, our work suggests that network recurrence additionally enhances the network's ability to provide discriminable population patterns. Behaviorally relevant auditory signals such as speech, or the reverberations that convey information about the spatial environment, are characterized by temporal features in the lower millisecond range. The intrinsic time scales of neurons that represent the auditory information in the downstream cortical processing centers are, however, much slower A central stage in the ascending auditory pathway is taken by the inferior colliculus (the auditory midbrain), which collects most afferent projections and transfers them to the thalamo-cortical system In this paper, we investigate the transformation from a temporal to a population representation using the simple paradigm of gap stimuli. We re-analyzed in-vivo recordings from anesthetized gerbils to show that such transformation indeed takes place at the level of the inferior colliculus. We then construct a computational model suggesting that the heterogeneity of biophysical properties of the neurons, particularly of their adaptation time constants, can explain the in-vivo phenomenology.All experiments were approved according to the German Tierschutzgesetz (AZ 55.2-1-54-2531-57-05 Regierung von Oberbayern). For more details see original data publication We re-analyzed previously published single unit recordings from 91 inferior colliculus neurons of young adult Mongolian gerbils with best frequencies from 2 to 12 kHz Due to the limit on the total length of the stimulus, the number of times the sound pulses are repeated per pulse train varies, as illustrated in The mean population rate response to each stimulus is shown in The spike times were translated into post-stimulus time histograms For our independent component analysis (ICA), we employ the FastICA algorithm The ICs are normalized, An important step is to find the minimum value of As a neuronal model, we use the integrate-and-fire neuron, where the membrane voltage The membrane time constant is used as a criterion for discriminability. As a linear classifier we use the LIBSVM support vector machine implementation provided by the SHOGUN machine learning toolbox We began by constructing Temporal features of auditory stimuli on the millisecond scale are preserved in the time course of the firing rates of inferior colliculus neurons For each gap size in ICA found 3 population patterns In order to encode arbitrary gap lengths, we require several neurons with different adaptation time constants, whose islands of high discrimination accuracy cover the whole range of possible gaps lengths. (2) If gap lengths are to be encoded by spike count, the number and size of parameter islands in which spike counts of a single neuron differ for different gap sizes generally improves with an increased number of output spikes. This spike rate may be increased by multiple factors, such as input rate, input connectivity, and recurrent connectivity.As a next step we studied a network of adapting neurons see and inveWe first compared heterogeneity to homogeneity in classifying gap pairs of 4\u20138 ms, 6\u201312 ms and 8\u201316 ms with non-connected networks. We constructed the heterogeneous network by randomly choosing each neuron's We next looked into the advantage of network recurrence by conducting the same experiment, this time with excitatory network recurrence gap encoding in the gerbil inferior colliculus is consistent with heterogeneity in adaptation, and that (2) this encoding is best achieved at moderate recurrent drive from the network.We finally asked, whether the observed population activity patterns not only encode gaps within the tight constraints of our paradigm, but also show some degree of invariance against changes of the parameter regime. First, we analyzed the gerbil data obtained for the same gap sizes but with varying durations of the preceding noise pulses and compared their projections onto the onset and delayed onset ICs (from 128 ms pulses) to projections of the original 128 ms pulses. For short gap sizes (dark dots), the independent components capturing onset and delayed onset responses were relatively invariant with respect to pulse length . DeviatiNext, we did the same analysis for our simulated network with heterogeneous adaptation and excitatory and inhibitory recurrent couplings. Also there, onset and delayed onset components showed gradual and systematic deviations . ParticuFrom these tests, we conclude that heterogeneous adaptation allows a linear classifier to extract gap durations with some degree of invariance to pulse lengths and background rate and thus likely provides a robust code for gap size that only changes gradually with variations of the stimulus paradigm.We investigated gap encoding in the inferior colliculus, through both analysis of experimental data from gerbils and simulation of neural networks. Our independent component analysis revealed that, when presented with stimuli containing multiple gap sizes, neurons responded with three prominent population patterns: onset, delayed onset, and sustained. Only the onset and delayed onset components showed gap-encoding capacity. In our computational effort to understand gap processing in inferior colliculus, we employed a simple input/network/read-out paradigm that emulated some of the basic features of the auditory midbrain. Then, starting from a single adapting neuron, we showed that experimentally-observed population patterns could arise from heterogeneous adaptation in a network. Moreover, network recurrence could serve to further enhance the network's ability to provide discriminable population patterns.discrimination tasks in rodents are rather rare. In Psychophysical experiments in gerbils nd 64 ms .The inferior colliculus is a very heterogeneous brain structure, morphologically and physiologically In light of this variety of receptive fields, it may not come as a surprise that there are only few general theories on inferior colliculus function. One of these theories The translation from time to rate can occur by means of adaptation (as in our model) but can also result from intricate combinations of inhibition and excitation via delay lines otential linearlyOur model can be generalized to also describe population coding of amplitude-modulated (AM) signals. Neurons in the inferior colliculus discharge phase-locked to AM stimuli Adaptation is ubiquitous along sensory pathways"}
+{"text": "Ankle joint sprain and the subsequent development of chronic ankle instability (CAI) are commonly encountered by clinicians involved in the treatment and rehabilitation of musculoskeletal injuries. It has recently been advocated that ankle joint post-sprain rehabilitation protocols should incorporate dynamic neuromuscular training to enhance ankle joint sensorimotor capabilities. To date no studies have reported on the effects of dynamic neuromuscular training on ankle joint positioning during landing from a jump, which has been reported as one of the primary injury mechanisms for ankle joint sprain. This case report details the effects of a 6-week dynamic neuromuscular training programme on ankle joint function in an athlete with CAI.The athlete took part in a progressive 6-week dynamic neuromuscular training programme which incorporated postural stability, strengthening, plyometric, and speed/agility drills. The outcome measures chosen to assess for interventional efficacy were: CumberlaCAIT and SEBT scores improved following participation in the programme. The angle of ankle joint plantar flexion decreased at the point of initial contact during the drop landing and drop vertical jumping tasks, indicating that the ankle joint was in a less vulnerable position upon landing following participation in the programme. Furthermore, GRFs were reduced whilst walking post-intervention.The 6-week dynamic neuromuscular training programme improved parameters of ankle joint sensorimotor control in an athlete with CAI. Further research is now required in a larger cohort of subjects to determine the effects of neuromuscular training on ankle joint injury risk factors. The human ankle joint is one of the most frequently injured joints in the human body, with lateral ligament sprains being the most common type of ankle injury . FollowiThe treatment and rehabilitation of individuals with CAI poses a significant challenge for clinicians, and has enormous healthcare and economic costs . A numbeOne of the primary mechanisms of ankle joint sprain involves aberrant ankle joint positioning upon initial contact with the ground during the transition from an unloaded to a loaded state . HoweverThus the objective of the present study was to examine the effect of a 6-week dynamic neuromuscular training programme on parameters of sensorimotor function in an athlete with chronic ankle instability (CAI).The 19-year-old athlete was injured whilst competing in a line-out during an amateur rugby union game, in January 2008. The mechanism of injury involved a \"forced inversion\" of the left ankle joint as a result of landing awkwardly from the line-out jump. The athlete was unable to continue participation in the game and that evening attended the Accident and Emergency Department of a nearby hospital. X-ray imaging failed to reveal any bony abnormality. The ankle joint was markedly ecchymotic and edematous and the athlete was prescribed simple analgesics and given crutches to use for mobilization. He was advised to progress from non-weight bearing (NWB) to full-weight bearing (FWB) and normal function as pain permitted.Following the initial injury the athlete who himself was an under-graduate physiotherapy student consulted one of the authors (ED). On examination mechanical instability was evident upon anterior drawer testing. Initially it was decided to institute a course of manual therapy. Anterior-posterior (AP) mobilisations of the inferior tibiofibular and talocrural joints were performed once a week for a period of six weeks in keeping with positional faults noted on assessment (i.e. restriction in weight-bearing dorsiflexion and reduced posterior glide of the fibula at the inferior tibiofibular joint). In conjunction with this manual therapy the athlete was prescribed some simple static postural stability exercises. These included single leg stance exercises with eyes open and eyes closed. Following this course of treatment the athlete was fully weight-bearing and the swelling had largely resolved.Despite these measures, six months following the initial injury the athlete continued to complain of limitations during functional activities which were adversely affecting his level of sports participation. He described how he felt that he was \"struggling\" to reach the same level of sporting performance compared to his pre-injury status. Furthermore the athlete complained of recurrent episodes of his ankle joint \"giving way\" with increasingly innocuous activities, and a generalized feeling of ankle joint \"weakness\". During this six month period the athlete also reported one other significant inversion injury which required a short period of NWB.At this time it was decided to undertake further radiological investigation. Magnetic resonance imaging (MRI) revealed fluid in the peroneal sheath suggestive of tenosynovitis, as well as thickening of the ATFL with some discontinuity of fibres at the fibular attachment in keeping with a grade 2 tear. At this stage the athlete decided to withdraw from formal sports participation primarily due to academic commitments.The athlete did however occasionally participate in recreational sporting activities but again was limited due to regular episodes of ankle joint \"rolling\". In October 2009 the opportunity arose to enroll the athlete who was now in his final year as an under-graduate physiotherapy student in a dynamic neuromuscular training programme. This opportunity arose as the primary author (JOD) was due to undertake a research project for the part fulfillment of his M.Sc. degree, and subsequently chose to design a case study to investigate the effect of a dynamic neuromuscular training programme on ankle joint function in a subject with CAI. Full approval for the study was received by the University Human Research Ethics Committee and informed subject consent was acquired. The subject had no previous history of lower limb injury nor did he suffer with diabetes, peripheral neuropathy or any other condition known to effect postural stability or proprioception.The novelty of this case is that it is the first to report on the effects of a dynamic neuromuscular training programme on ankle joint positioning during jump landing in a subject with CAI. In addition to measures of ankle joint kinematics during jump landing we also investigated the effects of the intervention on other important aspects of ankle joint function, such as walking kinetics, postural stability as well as self-reported ankle joint function as measured by the CAIT.The severity of ankle joint instability was initially assessed using the CAIT . Prior tDeficiencies in postural stability have been shown through prospective research to be a predictor of ankle joint injury development ,14. FurtOne measure of dynamic postural stability commonly employed by clinicians and researchers alike is the SEBT. Previous research has shown that subjects with CAI have decreased performance on the SEBT as measured by reach distance, compared to non-injured controls ,17. DuriPrevious research has suggested that an increased plantar flexion touch-down angle upon landing from a jump could precipitate the onset of an ankle joint sprain . Thus, aDuring performance of the drop landing the participant initially stood on the non-injured leg and was required to \"step\" off the 35 cm high platform and land on the centre of the force-plate on the injured leg. This methodology has previously been described by Delahunt et al . For thePrevious research has suggested that the gait profile of subjects with CAI differs from non-injured control subjects ,24-26. SEqually, subjects with CAI have also been shown to have a dorsiflexion deficit and altered shank-rearfoot coupling ,25. ReceWe chose to investigate the rearfoot angular displacement at the point of IC with the force-plate during walking as well as the peak ground reaction force components during the stance phase. IC was defined as the point when the vertical component of ground reaction force exceeded 10 N. Lower limb joint angular displacements were captured at 200 Hz by 3 CODA mpx1 motion analysis units, while ground reaction forces were captured at 1000 Hz with a walkway embedded force-plate . The athlete performed 10 gait trials at self-selected walking pace with the average value of the ten trials being utilized for the analysis of differences between the pre- and post-intervention conditions.SMD = difference in mean outcome between groups/mean of the SD of the pre- and post-intervention outcomesA modified standardized mean difference (SMD) was calculated for the outcome measures as follows: The athlete took part in a progressive 6-week dynamic neuromuscular training programme incorporating postural stability, strength, plyometric, and speed/agility drills Table .To date little or no research has been done to develop a treatment or impairment based classification system that addresses the multi-factorial nature of CAI, hence a comprehensive multi-component programme was implemented. Exercises were to be progressed from simplistic to increasingly complex, and were based on a compilation of previously published rehabilitation protocols to reflect current practices coupled with elements that addressed the functional demands of this particular individual -9. GivenFollowing the intervention the athlete again completed the CAIT questionnaire. His post-intervention CAIT score was 27, differing from the pre-intervention score by 23 points . There was however a reduction in the peak vertical, lateral and braking components of ground reaction force (Table Following the six week training programme there was no change in rear-foot frontal plane angular displacement (2.16 The primary outcome from this study was that a dynamic six-week neuromuscular training programme resulted in improvements in a number of sensorimotor insufficiencies that have been associated with CAI.The results of the present study concur with those of McKeon et al and HaleDecreased postural stability has been identified as a risk factor for ankle joint sprain ,14. It hAberrant ankle joint positioning during the transition from an unloaded to a loaded posture has been identified as a risk factor for ankle joint injury . SpecifiDuring walking no change was noted in the position of rear-foot inversion which further corroborates the findings of McKeon et al . HoweverThe present study does have a number of limitations. Firstly it is a case report and thus extrapolation to all subjects with CAI requires careful consideration. Therefore, further studies with a randomized controlled design are required to fully determine the effects of dynamic neuromuscular training programmes on ankle joint sensorimotor control. Furthermore, during the pre- and post-intervention test session we did not record any lower limb electromyographic activity. This would have afforded us a greater understanding of ankle joint sensorimotor control, and in particular the initiation and magnitude of muscle activity . This maThe 6-week dynamic neuromuscular training programme improved parameters of ankle joint sensorimotor control and subjective function in an athlete with CAI. Further research is now required in a larger cohort of subjects with CAI to determine the effects of neuromuscular training programmes on ankle joint injury risk factors.The authors declare that they have no competing interests.JOD and ED conceived and performed the study and drafted the manuscript. FK participated in the design of the study, evaluation of the data and writing the manuscript."}
+{"text": "These mTOR inhibitors impart a pronounced inhibitory effect on inflammation, an early component with diverse ramifications influencing the progression of DR. These inhibitors suppress IKK and NF-\u03baB along with downstream inflammatory cytokines, chemokines, and adhesion molecules. In proliferative DR, mTOR inhibitors suppress several growth factors that play pivotal roles in the induction of pathological angiogenesis. Lead mTOR inhibitors in clinical trials for ocular indications present an attractive treatment option for chronic use in DR with favorable safety profile and sustained ocular pharmacokinetics following single dose. Thereby, reducing dosing frequency and risk associated with chronic drug administration.Novel therapeutics such as inhibitors of PI3K/Akt/mTOR pathway presents a unique opportunity for the management of diabetic retinopathy (DR). Second generation mTOR inhibitors have the prospect to be efficacious in managing various stages of disease progression in DR. During early stages, the mTOR inhibitors suppress HIF-1 Blindness as a consequence of diabetic retinopathy from long-standing or poorly controlled diabetes causes profound adverse psychological effects to the diabetic patient. Diabetic retinopathy has a significant economic impact on society in terms of healthcare resources that are required and the potential of loss in the workforce. The number of people at risk of blindness from diabetic retinopathy in the United States alone continues to rise, and diabetic retinopathy is the leading cause of blindness in the industrialized world covering a wide age range in adults . DiabetiAnti-VEGF-A therapeutics has become a dominant approach for the management of ocular neovascular diseases , 7. OngoWithin the past seven years, two drugs targeting VEGF were approved for combating ocular neovascularization. Both these drugs, Macugen (pegaptanib) and Lucentis (ranibizumab) were approved for exudative age-related macular degeneration. More recently, Lucentis has received approval for use in patients suffering visual impairment due to macular edema secondary to central and branch retinal vein occlusion , 9. The The success of anti-VEGF treatments has produced an unprecedented understanding of the factors and pathogenic mechanisms operant in several retinal neovascular diseases and has demonstrated that therapeutic agents considered initially only in the realm of anticancer agents have demonstrated efficacy in combating ocular neovascularization. Could a similar story be on the horizon for mTOR inhibitors for which the principal indication has also been in the treatment of cancers?Other antiangiogenic approaches for ocular angiogenic diseases involve growth factors , steroid compounds, or kinase inhibitors . No mTOR inhibitors which target the mammalian target of rapamycin are currently being clinically evaluated for their efficacy in nonproliferative or proliferative stages of diabetic retinopathy. Only two mTOR compounds, Sirolimus and Palomid 529 are currently being evaluated in NIH-sponsored trials for ocular indications. Sirolimus is being evaluated to treat diabetic macular edema which is a frequent manifestation of diabetic retinopathy, for ARMD, and for uveitis. Palomid 529 is being evaluated for ARMD , 10. TheAn active PI3K/Akt pathway has been linked to glucose dysmetabolism in retinal tissue. The direct effect of high glucose on retinal endothelial cells imparts a promigratory phenotype with increased fibronectin and alpha (v) beta-(3) integrin expressions which appears to be concomitant with the activation of PI3K/Akt pathway . ElevateExperimental findings suggest in vitro finding that the mRNA and protein expression of the anti-angiogenic factor PEDF is reduced by glucose as well as insulin raises interesting implications for the diabetic retina. These common physiological metabolites are elevated in type 2 diabetics, and it has been shown that these metabolites are dependent on the mTOR pathway for their destabilizing effect on PEDF -chromen-6-one, is a first-in-class allosteric dual mTORC1 and mTORC2-omid 529 . The safClinically relevant adverse events have been experienced with the use of TORC1 inhibitors, Sirolimus, and its analogs, when administered via systemic administration as described in In this model, when Palomid 529 is compared head to head with a murine anti-VEGF antibody, the anti-VEGF antibody treatment appears to inhibit both pathological and normal angiogenesis while Palomid 529 inhibits predominantly pathological angiogenesis. This is shown by presence of avascular space around optic nerve in control, increased with anti-VEGF treatment but essentially lacking with Palomid 529 treatment. This observation suggests that the inhibitory actions of Palomid 529 influencing the PI3K/Akt/mTOR pathway is mediated by normalizing the signaling activity level of this pathway rather than promoting a suppressive blockage leading to subnormal function. In support of this viewpoint is the observation that neonatal vascularization in the oxygen-induced retinopathy mouse pups was not adversely affected and perhaps eases concerns regarding the induction of adverse events in young patients when using Palomid 529.In addition, upon closer inspection at higher magnification, anti-VEGF antibody did not appreciably inhibit glomeruloid formation (\u201cmicroaneurysms\u201d), while Palomid 529 showed significant inhibition of this vascular malformation, see Palomid 529 has completed 4 of 6 cohorts of the company's ongoing intravitreal Phase 1 human age-related macular degeneration trial. The NEI is also conducting its own Phase I trial in age-related macular degeneration with subconjunctival administration. Preliminary results in the intravitreal study have shown significant reduction of retinal thickness as evidenced by OCT in two of the three patients at the 4th cohort (0.5 micrograms). Positive data has also been observed with the NEI trial. The outcome of these trials will be very instructive with regards to future application of this drug, other drugs of its class, and to other angiogenic ocular diseases. Clinical trial data on safety and efficacy of dual mTOR inhibitors is emerging, particularly for the treatment of a variety of cancers. There have been widespread concerns that the novel dual mTOR inhibitors with their potent capacity to cause extensive and diffuse blockade of downstream signaling will exhibit additional and perhaps unpredictable side effects beyond what has already become apparent from the side effect profile of the early generation mTOR inhibitors. However, from the limited clinical data that has emerged using dual mTOR inhibitors, the prognostic outlook for the utility of these agents in providing improved therapeutic outcomes with reduced tachyphylaxis appears encouraging . For theIt has been suggested that mTOR inhibition in the setting of hyperinsulinemia and type 2 diabetes would be a particularly attractive therapeutic modality . The useFrom a drug development standpoint, the PI3K/Akt/mTOR pathway has presented some unique challenges . The higIn order to prevent or delay drug resistance and minimize ancillary side effects of mTOR inhibition, selective dual inhibitors of mTOR complexes as well as combination therapy with other agents such as VEGF antagonists will be crucial for the development of new therapeutic options to manage the complex vasculopathy of diabetic retinopathy. A significant therapeutic opportunity exists in that mTOR inhibitors reduce VEGF mRNA stability , thereby\u03b1, it may be possible to approach anti-angiogenic therapy from a dual approach in combination with anti-VEGF monoclonal antibodies or VEGF-trap while minimizing the potential for overlapping toxicities and at the same time selectively targeting the operant mechanism(s) in the pathobiology of diabetic retinopathy. Dual mTOR inhibitors capable of synergizing with anti-VEGF therapeutics that either inhibit a distinct regulatory site on the same pathway or inhibit a parallel prosurvival pathway would provide a broader mechanistic intervention of the angiogenic process. Because mTOR inhibitors have a direct anti-angiogenic effect, mediated via modulation of HIF-1Several Phase I studies have investigated the safety profile of combination therapy using bevacizumab and mTOR inhibitors sirolimus, everolimus, or the dual mTOR inhibitor WYE-125132 in cancer patients \u2013117. PreAn analogous approach can be taken by linking mTOR inhibitors with other antagonists or agents where the mechanism of action targets an alternate pathway, thereby augmenting the potential for additive or synergistic outcomes on efficacy measures. The combinatorial drug approach with mTOR inhibitors can be extended to be coadministered with an entire class of anti-inflammatory agents as combination therapy. The mTOR inhibitors in combination with Nepafenac, currently in clinical trials for non-proliferative diabetic retinopathy and macular edema, would appear to be a feasible combinatorial-drug approach to combat diabetic retinopathy. Experimental findings using topical 0.3% Nepafenac 4x/day in diabetic rats for up to 9 months has demonstrated reductions in superoxide, cyclooxygenase-2, PGE-2, and leukostasis and prevention of functional changes in oscillatory potential as well as vasculopathy including apoptosis, regions of acellularity, and degeneration of pericytes .The multi-drug approach might provide the therapeutic advantage that lower doses of each of the combined agents would be required for efficacy with the benefit of minimizing potential toxicities. This strategy can be justified on the evidence that extensive cross-talk of pathways underlie the angiogenic signaling cascade and that the vasculopathy innate to diabetic retinopathy involves a myriad of initiators. Particularly, attractive would be the combinations of mTOR inhibitors with triamcinalone (Kenacort) or dexamethasone (Ozurdex) both of which have developed either scleral or intravitreal sustained drug delivery formulation and first-in class biodegradable device technologies for drug delivery to the retina. Several studies have investigated the benefit of combining mTOR inhibitors with established glucocorticoid anti-inflammatory agents in cancer patients. The mTOR inhibitors not only potentiate the apoptotic effect of steroids, but confer enhanced sensitivity to glucocorticoids, thereby, potentially allowing sustained efficacious and chronic use of these drugs in ophthalmology to treat ocular angiogenic and inflammatory diseases without having to increase dosage over time. The clinical utility of glucocorticoids in ophthalmology is extensive but is hampered by side effects as well as the development of glucocorticoid resistance imposing a limit on the duration of use and clinical utility. The combined use of rapamycin with dexamethasone appears to impart the benefit of not developing resistance to the biological effects of dexamethasone as well as enhancing the proapoptotic caspase-3 signaling . The molTransscleral delivery of triamcinalone and Lucentis has been successfully applied in animal models using electrically facilitated macroesis methodology . DexametDue to anatomical and physiological barriers, the eye presents a myriad of challenges as a target organ for drug delivery. Recent advances in drug delivery technology including formulation, polymer chemistry, nanotechnology , microdrThe optimal drug delivery approach depends, to a substantial extent, on the physiochemical and pharmacokinetic properties of the pharmacological agent to be administered. Some of the highlighted techniques, although optimized for ocular surface or anterior pole diseases, have resulted in sufficient enhancement of drug penetration that they also have utility for pharmacological treatment of ocular diseases of the posterior segment. Several of the anti-inflammatory and anti-VEGF pharmacological agents that are proposed in this review to be used in combination with mTOR inhibitors have been administered to the ocular surface using one of the described drug delivery or formulation technologies to treat retinal diseases. For instance, nanocomposites have been used to deliver Diclofenac , and topA microparticle formulation containing an antagonist to a leukocyte antigen applied topically to the ocular surface has demonstrated sufficient ocular penetration to influence leukocyte dynamics and vascular leakage in the retina, both manifestations of diabetic retinopathy . Use of Additional techniques and methods have been optimized with the specific aim of treating diseases of the posterior pole \u2013145. TheThese biodegradable or nonbiodegradable intraocular implants can be placed in the vitreous or via cannulation in the suprachoroidal space to lowerOf particular interest, in light of the theme of this review, is the use of microemulsion to enhance the corneal permeation of the mTOR inhibitor everolimus with sustained stability of the drug and the While it is unlikely that a single drug will be efficacious for managing all the various stages of diabetic retinopathy, combination or sequential therapeutic agents are more apt to yield beneficial results. Combinatorial use of a dual mTOR inhibitor with anti-VEGF antibodies or VEGF-trap could neutralize cross-talk inducers of VEGF expression and be a powerful combination approach to ocular anti-angiogenic therapy. Compelling evidence for enhanced efficacy of combined drug therapy to combat ocular angiogenesis has been previously presented, and the evidence underscores the extensive overlap of regulatory signaling involved in the angiogenic cascade . Potent \u03b1-mediated downstream activation of growth factors. As the disease progresses and the characteristic lesions are proliferative in nature, the inhibition of PI3K/Akt/mTOR pathway would provide an effective means to abrogate neovascularization by shutting down prosurvival growth factors, modulating the inflammatory cascade, preventing angiogenesis, and promoting apoptosis of nascent vessels. The combination of mTOR inhibitors with anti-inflammatory agents also provides a rational-based approach to combat ocular angiogenesis and early hemodynamic changes in the retina. The mTOR inhibitors are uniquely suited to address both early and advanced manifestations of diabetic retinopathy. The mTOR inhibitors have the potential to delay or prevent the progression of retinal microangiopathies by helping to avert breakdown of blood-retinal barrier by modulating HIF-As we continue to unravel the complexity of the initiating factors that contribute to the microangiopathy observed in progressive diabetic retinopathy and gain further understanding of the natural progression of the disease it is imperative that emerging therapeutics like mTOR inhibitors be well contemplated in the context of their mechanism of action, stage progression of the retinopathy, and the critical timing of pharmacological intervention. A drug can be ineffective or even result in adverse effects if implemented during an inappropriate stage of disease progression. Therefore, managing of the complex vasculopathy in diabetic retinopathy will require elucidating the proper timing of when to administer the therapeutic agent for optimal efficacy. Regardless of the enigmatic components that remain with regards to the elucidation of the molecular pathways operant in diabetic retinopathy, these novel classes of therapeutics are likely to produce better patient outcome for managing the widespread and devastating disease of diabetic retinopathy. The mTOR inhibitors, particularly when combined with other pharmacological agents would appear to be a promising therapeutic modality.The second-generation mTOR inhibitors discussed in this review are well positioned to fulfill several key criteria for being an optimal therapeutic for treatment of ocular angiogenesis: (1) targets neovascularization by specific mechanism, (2) delays or prevents the angiogenic phase of the disease, (3) demonstrate specificity and selectivity for aberrant vessels, (4) has a formulation for long-term delivery with no apparent toxicity associated with chronic administration, (5) stabilize, or prevent further deterioration of vision, (6) prevent or delaying late-stage complications of the disease such as detachment and scarring.Dr. Jacot has no proprietary or commercial interest in any materials presented in this review. Dr. Sherris is President and Chief Executive Officer of Paloma Pharmaceuticals, Inc. and has proprietary and commercial interests in Palomid 529 mentioned in this review."}
+{"text": "Infections with Hepatitis viruses B and C pose major problems both short and long term respectively after HSCT. The key to prevention for Hepatitis B disease remains vaccination for HBV-na\u00efve patients and judicial use of anti-viral therapy in both pre- and post-transplant settings for HBV-infected patients. HBsAg positive grafts to HBV-na\u00efve recipients result in transmission of the virus in about 50%. The newer anti-viral agents have enabled effective treatment of post-transplant patients who might be lamivudine-resistant or might develop so. Selecting a previously infected donor who has high titres of surface antibody for HBsAg positive patients gives the best chance for immunological clearance. The most challenging aspect of preventing HBV reactivation remains the duration of anti-viral therapy and timing of its withdrawal as most reactivations and often fatal ones occur after this period. Hepatitis C, on the other hand affects long-term survival with early onset of fibrosis and cirrhosis. Early effect of Hepatitis C virus on the immune system remains conjectural. The standard combination therapy seems to be effective, but data on this front remains sparse, as in the case of the use of newer antiviral agents. HSCT from HCV infected grafts result in more consistent transmission of the virus and pre-donation treatment of donors should be undertaken to render them non-viremic, if possible. The current understanding and recommendations regarding prevention and management of these infections in HSCT recipients are discussed. Haematopoietic Stem Cell Transplantation (HSCT) has evolved over the last three decades from a procedure limited to high-risk haematological malignancies with high risk of morbidity and mortality to a much more widely applicable one across age and donor barriers. Given the explosive expansion of indications for HSCT and the new and novel techniques of transplantation, the nature of complications, particularly the opportunistic infections have evolved as well. Hepatitis B and C virus infections are widely prevalent amongst the general population, though differentially across the various continents. The impact of these infections on transplant outcome is getting better recognised. A recent guideline published jointly by the CIBMTR, CDSC and other organisations have tried to address these issues from a global perspectiveOver 350 million people are HBV carriers worldwide, with the infection being endemic in several countries. The prevalence of chronic hepatitis B infection in endemic areas range from 5\u201325%, whereas, that in non-endemic regions are less than 0.5%The course and outcome of HBV infection depends on two factors: age at infection and the host-virus interaction. Neonatal infection usually results in persistent infection, but acquisition of the virus later in life most commonly result in acute hepatitis. Whilst acute viral hepatitis is self-limiting, a small minority <5%) can progress to fulminant hepatic failure. About 10% of those infected after the first two years of life would be a chronic carrier, with 20% of those developing cirrhosis. Again, 25% of those with hepatitis B associated cirrhosis could develop hepatocellular carcinoma% can proreverse seroconversion. In the context of autologous transplants, this risk was deemed to be greatest in patients transplanted for myelomaHBV reactivation post-transplant is characterised by rising levels of HBV DNA in blood during the period of severe immunosuppression preceeding the rise in liver enzymes (ALT and AST) at the onset of immune recovery. Unless serially monitored, this sequence of events might be missed, as the HBV load might not be as high at the onset of clinical hepatitis which marks the recovery of cellular immunity. Although any chemotherapeutic or immunosuppressive agent used during conditioning increases the risk of HBV reactivation, steroids pose the greatest risk. Steroids facilitate replication of HBV through a glucocortcoid responsive element in the viral DNAEvery HSCT recipient should be screened for evidence of past or current HBV infection. The screening should comprise of anti-HBc, HBsAg and anti-HBs (AII). This should be carried out in every patient much before HSCT, ie before initiation of chemotherapy for malignancy or transfusion for non-malignant disorders or at the earliest stages of consideration for HSCT.If the above parameters are negative, the patient should be immunised with two doses of hepatitis B vaccine at 3\u20134 weeks interval before initiating chemotherapy or transfusion and preferably the third dose at 6 months (AII). This is often not possible in patients undergoing chemotherapy for newly diagnosed cancers. The third dose in these patients should be administered a few months after completion of chemotherapy. The chances of response to immunisation are over 90% in normal individuals, but this is much lower in patients undergoing chemotherapy (less than 60%).Past exposure to HBV in a HSCT recipient increases the risk of HBV reactivation post-transplant depending on the sero-status. The possible scenarios are described in Donors should be routinely screened using same parameters as the recipient. The possible scenarios with donor-recipient sero-status are detailed in All patients who are positive for either HBsAg or HBV-DNA and those who receive grafts from similar donors are at the highest risk of HBV reactivation (defined as \u2018High Risk\u2019). Those who are negative for HBsAg or HBV-DNA pre-transplant but have low anti-HBs titres or those receiving grafts from HBsAg positive donors who are rendered non-viremic following antiviral therapy are deemed to be at risk of HBV-reactivation albeit lower (defined as \u2018Low Risk\u2019). Such patients should be closely monitored for viral load and liver function .There are two approaches to address this.Intervening on diagnosis of hepatitis B reactivationPre-emptive intervention pre-transplant.5 copies/ml) are at the greatest risk of HBV reactivationThe current evidence weighs heavily in favour of preemptive intervention (AI). In patients who go to autologous HSCT with high viral load . Extended use of lamivudine, not only results in reduction of HBV reactivation and the resultant complications, but also impacts HBV-associated mortalityImmunity to HBV can be adoptively transferred from the donor to the recipient. Anti-HBs positive marrow donation has resulted in durable anti-HBs expression in the recipientPatients who are anti-HBs and anti-HBc positive pre-transplant are considered to be at negligible risk of HBV reactivation. However, over 50 cases of reverse seroconversion have been reported in the literature, following both autologous and allogeneic transplantation, with an approximate overall risk of 1%In UK for example, the risk of acquiring hepatitis B through transfusion is I in 150,000. The same is not true for many Asian or Latin American countries, where the disease is endemic and prevalent in upto 25% of the population in certain areas. The importance of active immunisation in unexposed patients before administration of blood products cannot be overemphasised (AII). However, this is not always practicable and a proportion of patients would be poor-responders. All patients should have the serological profile repeated prior to HSCT, even if they were HBV-na\u00efve and immunised prior to chemotherapy. This is because of the possibility of reverse seroconversion through the period of cytotoxic and immunosuppressive therapy which most would be exposed to prior to transplantation (AIII).Anti-HBs negative HSCT recipients who have recived a graft from HBV-na\u00efve donor and have not been immunised or have failed to mount a response to vaccination are at increased risk of acquiring HBV from an infected partner. Those who experience loss of anti-HBs post-transplant are also at similar risk. Late hepatitis from sexual transmission has been reportedGlobally, about 170 million people are chronically infected with Hepatitis C virus (HCV) and about 3\u20134 million more are infected each year. The major mode of transmission is via infected blood products and infected needles shared by drug-users or percutaneous procedures. The prevalence of chronic HCV infection is higher in Africa and South East Asia than in Western Europe and North America. However, the disparity is not as pronounced as in HBV, largely because of the millions infected in these places through blood transfusion before 1992, when second generation anti-HCV testing came into being (WHO factsheet). Unsafe blood products still contribute to majority on newly acquired HCV in countries with high prevalence of the infection.Majority of patients infected with hepatitis C do not have acute clinical manifestations, unlike HBV. However, 80% of those infected develop chronic infection and 20% of chronic HCV infected cohort develop cirrhosis of the liver after 20\u201330 years with 1\u20135% developing HCC. Prior to the identification of hepatitis C in 1989 and effective screening in 1992 onwards, several million people were infected globally through blood transfusion. In a look-back study, Seattle identified that 32% of 355 patients who received a transplant in 1987\u201388 were infected with HCVAssociated iron overload.History of excessive alcohol intake.H/O hepatitis C for over 10\u201315 years.Clinical evidence of chronic liver disease.HCV infection in the recipient without any evidence of liver damage is not a contraindication for HSCT. The only short term risk is probably associated with VOD. However, all HSCT recipients should be assessed with careful history, examination and liver function test for the risk of HCV infection (BIII). Anti-HCV antibodies must be tested in all HSCT recipients (AII). Those with history of transfusion before 1992 (this may vary according to the country of origin), IV or inhaled drug abuse, tattoos and unexplained rise in liver enzymes, should undergo nucleic acid testing for HCV despite a negative anti-HCV (AII). Anti-HCV response takes 6 months to be detected or may never be detectable in a small proportion of individuals or during or immediately after prolonged and heavy chemotherapy or immunosuppressionPatients with evidence of cirrhosis or hepatic fibrosis should not be considered for conventional conditioning (DIII).Two studies have suggested that the risk of VOD is increased in patients with HCV infection and raised ALT pre-transplant, whilst others have suggested to the contrary. However, in patients with iron overload with HCV infection with raised ALT, VOD prophylaxis could be recommended routinely, in the absence of any conclusive evidence to the contrary (BIII).Donors who are HCV-RNA positive invariably transmit HCV to uninfected recipient. Recipients show evidence of viremia in the immediate post-transplant periodThe standard treatment for chronic hepatitis C infection is a combination of interferon and ribavirin, which produces 80% sustained virological response in genotypes 2 and 3 and 40\u201350% in genotype 1Treatment for chronic HCV should be considered in all HSCT recipients in collaboration with a hepatologist. The indications are listed in Treatment should be initiated with full-dose peginterferon and ribavirin.Dose modifications should be made based on tolerance and cytopeniasThe treatment should be continued for 24\u201348 weeks depending on response.Sustained Virological Response (SVR) is defined as negative HCV-RNA 24 weeks from completion of treatmentBased on the current evidences, the following can be recommended (BIII):Limited data suggests improved outcome in HSCT recipients infected with HCV who respond to combination therapy.As mentioned above, HCV-RNA positive donors universally transmit virus to the recipient immediately following stem cell infusion. Donors who are anti-HCV positive but HCV-RNA negative are unlikely to infect the recipient. Based on these premises, it might be logical to attempt viral clearance in the donor prior to stem cell harvest, if feasible. There are few reports on success of this methodHepatitis viruses B and C are widely prevalent in the general population and affect the outcome of HSCT. Prevention is the key to overcoming problems related to these viruses. However, proper strategies adopted in transplanting infected patients or grafts from infected donors can minimise both short- and long-term complications and fatal outcomes."}
+{"text": "Three dimensional pharmacophore models can be considered as an ensemble of steric and electronic features in space, which are necessary to ensure intermolecular interaction with a specific target in order to trigger or to block biological activity . By idenCavKA (Cavity Knowledge Acceleration), our own in-house strategy employs the information of Co-crystallised ligand-receptor complexes for an automatic pharmacophore creation. Ligand features interacting with the binding site are detected and Grid force fiOur method is compared to LigandScout and a cu"}
+{"text": "There is general agreement that mitochondria play an important role in the aging process, but the role of mitochondrial oxidative stress remains controversial. Most previous work looking at mitochondrial oxidative stress has focused on damage to DNA, proteins, and lipids with age or in response to manipulation of cellular antioxidants. The interaction between oxidative damage and aging has been called into question in recent years by studies demonstrating little effect on aging and lifespan in mice with genetically modified antioxidant systems . A notabThere is growing appreciation for a more subtle role for oxidative stress in aging. This perspective recognizes the important role of reactive oxygen and nitrogen species in regulating adaptive responses to physiological stress . One cha2O2 production from aged mitochondria. Therefore, the results from the paraquat experiments suggest that reversible redox inhibition of in vivo mitochondrial energetics may contribute to the mitochondrial aging phenotype.Our laboratory is interested in whether redox inhibition of mitochondrial function contributes to age-related energy deficits in vivo in mouse and human skeletal muscle , 5. Sieg2O2 production. SS-31 reduced the high mitochondrial H2O2 production from aged permeabilized muscle fibers from the extensor digitorum longus, but had no effect on young fibers. In the aged mice, one hour after in vivo treatment with SS-31 the cellular redox status measured by GSH:GSSG was more reduced. This was accompanied by improved mitochondrial coupling (P/O) and maximum ATP production in vivo in the skeletal muscle, while there was no effect on the mitochondrial energetics in young skeletal muscle. In addition to the improvements in muscle energetics, one hour and one week of SS-31 treatment resulted in improved muscle performance and increased exercise tolerance, respectively, in the old mice. This rapid reversal of in vivo energy deficits supports the hypothesis that mitochondrial deficits in aged skeletal muscle are, at least in part, due to reversible redox sensitive inhibition. Thus assessing the role of mitochondrial oxidative stress in aging and disease will require careful attention to changes to the in vivo redox environment and the mechanisms by which these changes can affect cell function.Our recent article in Aging Cell further The mechanisms linking mitochondrial redox changes, regulation of metabolic fluxes, and reversal of dysfunction by SS-31 remain unclear. One potential mechanism is the post-translation modification of mitochondrial protein thiols with age. There are several rapidly reversible redox sensitive modifications of protein thiol groups that have been shown to affect the activity of mitochondrial proteins. This has been a relatively understudied area in the context of aging. However, in light of our results with SS-31 this warrants further attention. SS-31 has also been shown to interact directly with cardiolipin and preserve mitochondrial morphology . Given tExpanding the mitochondrial oxidative stress theory of aging to include reversible redox signaling opens new avenues for the development of potential therapeutics. This shift identifies the mitochondrial and cellular redox environment as potential targets for therapeutic intervention to reverse tissue dysfunction in age. Perhaps even more clinically relevant is the potential to focus on short-term treatment to reverse dysfunction. Translation of this strategy to humans would allow clinicians to treat elderly patients after mitochondrial or significant muscle dysfunction is identified, thus bypassing the need for costly long-term preventative treatments."}
+{"text": "Planarians are members of the Platyhelminthes (flatworms). These animals have evolved a remarkable stem cell system. A single pluripotent adult stem cell type (\u201cneoblast\u201d) gives rise to the entire range of cell types and organs in the planarian body plan, including a brain, digestive-, excretory-, sensory- and reproductive systems. Neoblasts are abundantly present throughout the mesenchyme and divide continuously. The resulting stream of progenitors and turnover of differentiated cells drive the rapid self-renewal of the entire animal within a matter of weeks. Planarians grow and literally de-grow (\u201cshrink\u201d) by the food supply-dependent adjustment of organismal turnover rates, scaling body plan proportions over as much as a 50-fold size range. Their dynamic body architecture further allows astonishing regenerative abilities, including the regeneration of complete and perfectly proportioned animals even from tiny tissue remnants. Planarians as an experimental system, therefore, provide unique opportunities for addressing a spectrum of current problems in stem cell research, including the evolutionary conservation of pluripotency, the dynamic organization of differentiation lineages and the mechanisms underlying organismal stem cell homeostasis. The first part of this review focuses on the molecular biology of neoblasts as pluripotent stem cells. The second part examines the fascinating mechanistic and conceptual challenges posed by a stem cell system that epitomizes a universal design principle of biological systems: the dynamic steady state. Schmidtea mediterranea (Smed) and Dugesia japonica (Dj). Both have excellent regenerative abilities and clonal strains originating from single animals are used. Whether a particular research group works on S. mediterranea or D. japonica is mainly a question of habit and results are so far assumed to be comparable. Other planarian model species include Schmidtea polychroa and Dugesia ryukyuensis . The genome of S. mediterranea has been sequenced , which additionally includes the parasitic clades Cestoda (tapeworms), Trematoda (flukes) and Monogenea (fish gill parasites). \u201cPlanaria\u201d is a colloquial term that generally refers to free-living members of the order Tricladida. Planarians have long since attracted the attention of biologists due to their astonishing regenerative abilities, food supply dependent scaling of body size and their great abundance of adult stem cells. The fresh water species are easy and cheap to maintain in the laboratory and several species are studied. The two \u201cworkhorses\u201d are Superficially, fresh water planarians may seem rather boring \u2014 flattened, mostly drab-colored worms without visible appendages Fig.\u00a0. A closepluripotency of Neoblasts . Neoblasts are likely even totipotent , but the use of donor Neoblasts from asexual animals in the above experiments precluded the reconstitution of sexual reproduction and thus the formal demonstration of totipotency. Neoblasts as naturally occurring pluripotent adult stem cells are remarkable, because adult stem cells in other model systems are lineage-restricted and somatic pluripotency exists only transiently during early embryonic development. A further unusual feature of planarian Neoblasts is their high basal mitotic activity. The resulting stream of progenitors drives the continuous turnover of all planarian tissues, which are likely devoid of any long-lived cell types. Dynamic turnover characterizes also the vertebrate intestine, for example . It is therefore important to stress that the term \u201cNeoblasts\u201d in the planarian literature and explicitly also in this text needs to be understood as a general reference to the planarian stem cell system, inclusive of pluripotent stem cells, earliest postmitotic progeny and any possible intermediate stages. The source of such ambiguity is not the use of a historical term, but the current lack of knowledge regarding the planarian stem cell system. Instead of introducing new terminology, I will therefore adapt the term \u201ccNeoblasts\u201d (\u201cclonogenic Neoblasts\u201d) from Wagner et al. for explicit references to pluripotent stem cells is highly expressed in an abundant cell population between the gut branches resulted in gradual Neoblast depletion and eventual death of the animals. The concomitant and massive upregulation of transposon transcription and the enrichment of piRNA-like RNA in CBs demonstrated a function of CBs and smedwi-3 in transposon silencing and especially smedwi-2(RNAi) in comparison to the gradual decline after PRMT-5(RNAi) strongly suggests that the planarian PIWI proteins are required for more than transposon silencing, as are their germ line counterparts in other organisms phenotypes suggest a role in Neoblast differentiation as well as self-renewal depletes Neoblasts with very similar kinetics to Smed-PRMT-5(RNAi), consistent with a scaffold function of methyl-RG/TUDOR interactions in CBs causes rapid chromatoid body disassembly and Neoblast loss within a matter of days does not affect Neoblast maintenance, but prevents gonad regeneration dramatically emphasizes the cryptic pluripotency of germ line cells are landmark achievements also because they introduce this dimension to Neoblast research. Starting from a cell population sorted according to size and complexity ((X1)FS), the authors report seven whole-animal reconstitutions out of 130 single cell transplant attempts causes the accumulation of mitotic Neoblasts at the expense of progenitors leads to eye defects in regenerating, but not in uninjured animals , that orchestrate embryonic axis establishment in non-regenerating animals causes the conversion of the tail into a head and the emergence of ectopic heads all along the body edge (Gurley et al. Smed-prep in non-regenerating animals indicates the participation of similar factors. The challenge over the coming years will be the cell biological dissection of the signaling cascades and their influence on gene regulatory networks.An influence of patterning signals over lineage choices necessitates region-specific cell fate determinants or factors mediating regional differentiation competence. An example for the former could be the LIM-homeodomain transcription factor Both the regionalization of the planarian body plan and its astonishing regenerative abilities are therefore likely two different sides of the same coin: a pluripotent differentiation hierarchy under the influence of a regulative patterning system. The uniquely dynamic body architecture of planarians arises from the intimate entwinement between the stem cell lineage and the patterning systems. Progenitors differentiate according to patterning signals into cells that produce patterning signals. The end of cell fate choices therefore once again becomes a beginning and the pattern continuously replaces itself. How such pattern of signals manifests itself in the physical shape and proportions of the planarian body plan is possibly the most fascinating challenge posed by the model system. Meeting it will require a multidisciplinary systems biology approach, combining cell biology, biophysics and mathematical modeling. The prize are fundamental insights into a universal design principle of biological systems, the dynamic steady state.piwi+, bruno+ and PDX10+ positive stem cells occur within the posterior growth zone of several annelid species, which adds new segments during growth (Giani et al. piwi, vasa and nanos and, at least in the case of the cnidarians, are able to regenerate the germ cells as well (Mochizuki et al. piwi+ stem cells that also give rise to the germ line (Funayama et al. piwi+ stem cells (reviewed by K\u00fcrn et al. Finally, how unusual are planarians and their pluripotent adult stem cell system in the context of evolution? Interestingly, Neoblast-like somatic stem cells are being discovered in a growing list of animals. C. elegans completely lacking adult somatic stem cells and somatic cell turnover occupies the \u201cstatic\u201d extreme of the spectrum. Similarly, the mechanisms segregating the pluripotent germ line from somatic lineages range from differentiation from pluripotent somatic stem cells in hydra, planarians or sponges via embryonic epigenesis in mouse to the segregation of maternally inherited \u201cimmortal\u201d germ plasm in fly and C. elegans (Extavour piwi and other germ line genes in the pluri- and multipotent stem cell systems of invertebrates, but generally not in the lineage restricted vertebrate stem cells, would indeed fit this picture. Or are cNeoblasts and other pluripotent invertebrate stem cells pre-meiotic germ cells instead that have maintained the ability to contribute to the somatic lineages? Clearly, studying the embryonic origins of Neoblasts and similar cells in other emerging invertebrate model systems now provide experimental opportunities to approach the evolution of pluripotency and animal stem cell systems in general.Flatworms are therefore neither unique in possessing pluripotent somatic stem cells, nor are they the only animals that undergo continuous turnover. Rather, stem cell systems across the animal kingdom come as a continuum of potencies and activities, in which Planarians mark a dynamic extreme. Hydra is situated nearby, displaying continuous body turnover, yet driven by independent multi- and unipotent cell lineages. Vertebrates with extremely tissue-specific turnover rates and tissue-specific stem cells reside somewhere in the middle, while Extavour . Based oExtavour . Tissue Planarians as model system contribute unique perspectives to current problems in stem cell research.smedwi-1 expressing cells, the isolation of pure cNeoblast preparations, the establishment of in vitro culture conditions and the localization of cNeoblasts within their tissue microenvironment represent important future milestones.Their first asset is an abundance of adult stem cells, so called cNeoblasts. The recent demonstration of cNeoblast pluripotency in single cell transplants has been an important achievement (Wagner et al. Second, Neoblasts are the sole source of new cells in planarians and they divide continuously to replace all differentiated cell types. Planarians therefore exist in a dynamic steady state between a single proliferating stem cell type and multiple short-lived differentiated cells. Maintenance of the steady state constitutes a universal problem in any stem cell containing tissue, yet the phenomenon remains poorly understood. Their complete turnover within a matter of weeks makes planarians uniquely suitable for studying the underlying mechanisms and conceptual principles. Key challenges include the identification of signaling systems controlling Neoblast proliferation and differentiated cell turnover, the orchestration of progenitor differentiation downstream of the pluripotent cNeoblasts and a systematic analysis of cell movements at steady state and during regeneration. The development of planarian transgenesis tools are especially important in addressing these questions.S. mediterranea. Moreover, even random injury remnants can restore the body plan by regeneration. Understanding the mechanisms that maintain and re-establish the dynamic steady state between Neoblasts and differentiated cells within the exact shape, size and proportions of the planarian body plan constitutes possibly the greatest frontier in planarian stem cell research. A crucial missing link between morphogenesis and the stem cell system is the currently unknown intersection point of patterning signals with progenitor fate choices. The origin and mechanisms of the mechanical forces required to convert signaling patterns into physical shape represents a further frontier. As for any steady state, understanding the planarian body plan in mechanistic detail will ultimately require mathematical modeling. Quantitative measurements are a crucial prerequisite to move into this direction and data relating to such parameters as progenitor production rates, cell flows and cell turnover rates will represent important contributions.Third, the ability of planarians to maintain their body plan in face of constant turnover is simply fascinating. Planarians grow and de-grow by changing overall cell numbers depending on food availability, leading to a 40-fold variation in body size between 0.5 mm and 20 mm in the case of What planarians can uniquely contribute to our understanding of stem cells is the systems perspective: an integrated view of the stem cell and its descendants as a dynamic steady state."}
+{"text": "Since the first report of the efficacy of thalidomide in refractory multiple myeloma (MM), thSo what does this all mean in the grand scheme of MM therapy in 2012? Although the data identify a small subset of MM patients will likely be affected, SPMs remains a serious issue especially with regard to the myeloid malignancies . We haveThe Arkansas group is presently studying the baseline whole bone marrow gene-expression profiling, proteomic analyses and single-nucleotide polymorphisms (SNPs) to identify patients who may have the propensity to develop SPMs. This will be most important in the context of low risk (or standard risk) patients who have a longer life expectancy than the high-risk patients . The ris"}
+{"text": "Striatal dopamine (DA) is thought to code for learned associations between cues and reinforcers and to mediate approach behavior toward a reward. Less is known about the contribution of DA to cognitive flexibility\u2014the ability to adapt behavior in response to changes in the environment. Altered reward processing and impairments in cognitive flexibility are observed in psychiatric disorders such as obsessive compulsive disorder (OCD). Patients with this disorder show a disruption of functioning in the frontostriatal circuit and alterations in DA signaling. In this review we summarize findings from animal and human studies that have investigated the involvement of striatal DA in cognitive flexibility. These findings may provide a better understanding of the role of dopaminergic dysfunction in cognitive inflexibility in psychiatric disorders, such as OCD. In a constantly changing environment behavior has to be adaptive and flexible. Cognitive flexibility is the ability to adapt goal-directed behavior in response to changing situational demands. Cognitive flexibility is one of the cognitive domains that are grouped together as executive functions or executive control previously. Depending on the operationalization of the reversal task used, this can be a reversal of all sorts of cues, but the choice options remain the same.intradimensional set-shift, new stimulus exemplars are presented but the relevant stimulus dimension does not change between trials. Successful shifting requires maintenance of the current rule and adapting behavior accordingly. In an extradimensional set-shift, not only are the stimulus exemplars novel, but the reinforced dimension has also changed. This requires a response shift to a dimension that has previously been irrelevant and bypassing of an acquired attentional bias . The WCST requires matching of a multi-dimensional cue card to one of four reference cards according to a specific stimulus aspect. The attentional set-shifting task has been developed as a non-human primate version of the WCST or stimulus sets consisting of multiple sensory dimensions ; rodent bowl digging procedure , damage to different prefrontal areas results in dissociable deficits in separate forms of cognitive flexibility. Damage to the orbitofrontal cortex (OFC) is thought to specifically impair reversal learning, but not attentional set-shifting may code a quantitative prediction error that serves as a teaching signal to guide behavior and is essential for a range of learning situations impaired performance during probabilistic reversal learning binding [, whereas in prefrontal regions, increased activation was observed following correct responses manipulations and measurements and can extend and specify findings obtained in human subjects. Here, we will discuss animal studies that have used pharmacological manipulations of the DA system or DA depletion to investigate in what way DA in prefrontal and striatal regions contributes to cognitive flexibility.In rodents, lesioning DAergic projections in the nucleus accumbens core impairs both spatial discrimination and reversal learning on a T-maze amphetamine and cocaine increase release of DA and other monoamines by blocking catecholamine re-uptake or promoting DA release impaired spatial reversal learning in an operant chamber by increasing the number of perseverative errors. Administration of a D2/D3 antagonist (raclopride) or selective D3 antagonist (nafadotride) had no effect increased both the number of discrimination errors and of perseverative and learning errors in the reversal phase impairs early, but not late stages of reversal learning /substantia nigra pars reticulata (SNr) and thalamus. Output neurons in the indirect pathway project via globus pallidus pars externa, subthalamic nucleus to GPi/SNr, thalamus and cortex. Activity in these pathways can be differentially modulated by activation of D1 or D2 receptors in the striatum aids the acquisition and relearning of behavioral responses to a particular stimulus, whereas suppression of D2-mediated transmission (indirect pathway) may be required to allow reorganization of ongoing behavioral patterns. These results are in line with previous findings reporting impaired reversal learning after local stimulation of D2 receptors, while during set-shifting blocking D1 receptors impaired maintenance of the new strategy and stimulation of D2 receptors induced perseverative responding are available. In the nucleus accumbens, these levels are higher during acquisition of a rule shift compared to simple rule acquisition in a T-maze set-shift paradigm release in the MPFC is elevated and prolonged during performance of a spatial reversal session in a skinnerbox, compared to release in a discrimination session preceding reversal , whereas suppression of D2-mediated transmission in the accumbens and the indirect pathway is required for the reorganization of behavioral patterns. A transient elevation in DA potentiates connections in the direct pathway to initiate movement toward reward, whereas a transient dip in DA potentiates connections in the indirect pathway to suppress movements that are no longer rewarded , availability of D2-receptors can be related to performance during reversal but not discrimination learning and higher order (rule or task switch) processes in a similar way. It is unclear if D2-mediated effects in animals depend on DA synthesis capacity.In general, these conclusions are similar to those based on human data, as discussed in the previous section. However, unlike what was reported in humans, DIndividual variability in executive functioning may be subserved by a strong genetic component is strongly expressed in medial spiny neurons in the striatum, where it is stimulated by D2 receptor. A1-allele carriers show a reduced number of available D2 receptors [ regulates re-uptake of DA from the synaptic cleft in striatal regions, whereas its influence in the PFC is less pronounced gene /Methione (Met) polymorphism at codon 158 of the Catechol-Despite the inconsistent effects of COMT genotype on perseverative errors in the WCST, the COMT Val/Met genotype is associated with differential activation patterns in the PFC during other cognitive paradigms , whereas increased availability of D2 receptors impairs task switching, suggesting different involvement of D2 receptors in these tasks. Striatal D1 signaling, mediated by DARPP-32 function, also contributes to cognitive functioning, although this has not yet been verified using specific measures of cognitive flexibility. Presumed lower levels of prefrontal DA, mediated by COMT-genotype appear to facilitate behavioral adaptation in both reversal learning and task-switching paradigms and induces specific deficits in cognitive flexibility. Although discrimination and reversal learning are not affected, these mice make more errors and need more time to complete an extra-dimensional set-shift is associated with cognitive performance in both humans and animals.The D2 receptor levels in the ventral midbrain in mice impairs extra dimensional set-shift. This concurs with the improved set-shifting performance after COMT-inhibition in rats. However, presence of the Val-polymorphism in humans has been associated with a behavioral advantage during reversal learning and task-switching suggesting that confirmation of these studies is needed before we can draw conclusions.Caution should be exerted when interpreting results from animals in which a receptor is completely knocked out as compensatory mechanisms (such as increased neurotransmitter levels) during development may contribute to the observed deficits. Also, in the case of complete knock-outs it is not possible to locate the neurobiological substrate of the impairment as the knock-out is present throughout the brain. Finally, mice with intermediate expression of specific receptors (heterozygotes) are useful for studying gene-dosage effects on behavior, which could be particularly relevant when compared to differences in receptor expression levels observed in humans.OCD is a psychiatric disorder that is characterized by recurrent intrusive, unwanted thoughts (obsessions) that are often accompanied by repetitive ritualistic behaviors (compulsions). Although the precise neurobiological substrates underlying OCD symptoms are not known, structural and functional imaging studies show alterations in frontal and orbitofrontal cortices and basal ganglia in OCD patients have been observed in OCD patients during performance of task switching paradigms is not altered, whilst OCD patients may be impaired on higher order flexibility tasks . Irrespective of the presence of behavioral impairments, activity and connectivity in neural circuits regulating flexible behavior are altered in OCD patients during task execution. Considering the modulatory effect of DA in these neural circuits, it is possible that altered striatal DA contributes to different activity in these circuits during task performance.As far as we know, studies directly linking measurements of cognitive flexibility to alterations in DA signaling have not been performed in OCD patients. The most consistent alteration in the DA system is changed DA receptor binding, mostly in striatal regions. Replication of these findings, especially of both DAnimal models of psychiatric disorders cannot reflect all aspects of the disease , the DAT-knockdown mouse that shows stronger and more rigid grooming behavior, has been proposed as an OCD-model based on DA hyperactivation . How does the supportive role of DA in cognitive flexibility compare to its role in initial learning about rewards? The question whether DA is necessary for learning has been addressed by studying acquisition of learning in DA deficient mice\u2014the conclusion was that loss of DA may impair, but does not inhibit reward learning to the substantia nigra) and expression of D2 receptors on MSN's of the indirect pathway or D2 (indirect pathway) expressing neurons. When a reward is presented unexpectedly, or when a stimulus that predicts reward is presented, a transient increase in DA release occupies low affinity D1 receptors and activates the direct pathway, allowing facilitation of response execution and prompting reward-related learning. Switching of behavioral patterns on the other hand might require reduced occupancy of high affinity D2 receptors. Omission of an expected reward following altered reinforcer contingencies results in transient reductions in striatal DA levels and diminished inhibition of the indirect pathway by D2 receptors, resulting in inhibition of the previously successful response. Both facilitation of behavioral adaptation by deactivation of striatal D2 receptors and facilitation of the acquisition of the \u201cnew\u201d behavioral response by striatal D1 activation suggests the importance of phasic fluctuations in striatal DA levels during execution of cognitive flexibility. This may be illustrated for the D2-mediated response: both continuously higher and lower tonic D2 activation could impair detection of the transient reduction of DA. As tonic DA may be related to general synaptic factors such as synthesis capacity, uptake activity and metabolic efficiency, all these factors may influence flexible responding through D2 receptor dependent transmission. However, it is difficult to separate tonic from phasic DA signaling with most manipulations used. Tonic prefrontal DA determines the control of cognitive flexibility. Considering the complexity of DA modulation in frontostriatal circuitry on reversal learning tasks is not impaired in OCD patients. On reversal learning tasks, if any behavioral effect is found, it is a slowing of response times rather than an effect on the amount of errors that are made. Differences in accuracy have been observed in attentional set-shifting and task switching paradigms. It is possible that reversal learning may be a paradigm that is too simple for gross behavioral abnormalities to be observed in OCD patients. Increased reactions times on flexibility tasks, however, do suggest altered cognitive processing in OCD patients during cognitive flexibility and the measurement of reaction times should therefore be included in studies investigating differences in cognitive flexibility between healthy controls and OCD patients. The altered recruitment of frontostriatal circuitry during the execution of reversal learning as well as task switching is another indication for altered cognitive processing in OCD patients. Altered DA signaling is a potential contributor to changes in frontostriatal activity when performing cognitive tasks. Altered activity in the frontostriatal circuit during reversal learning, as observed in OCD patients is also found in subjects with polymorphisms in the D2 gene that result in reduced binding to D2 receptors. Most likely, however, abnormalities in prefrontal regions and 5-HT modulation in OCD patients also contribute.So how do these findings relate to altered cognitive flexibility in OCD patients? If cognitive flexibility can indeed be used as an endophenotype for OCD, do the alterations in DA signaling that have been observed in OCD patients comply with the proposed role for DA in cognitive flexibility? The most replicated alteration in the DA system of OCD patients is reduced binding to DAn important step in investigating the possibility of altered cognitive processing in cognitive flexibility tasks as an endophenotype for OCD would be the replication of studies using cognitive flexibility tasks in OCD patients with the use of strictly defined patient and control groups. Considering that altered neural correlates of OCD could be symptom dimension-specific (van den Heuvel et al., The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "The Pharmacophore Alignment Search Tool (PhAST) is a string-based approach to virtual screening. Molecules are represented by linear sequences which describe their respective pattern of interaction possibilities. The problem of molecule linearization is tackled by applying Minimum Volume Embedding in combination with a Diffusion Kernel to the molecular graph ,2. LineaSignificance of chemical similarity was determined in form of p-values of global alignment scores, calculated in an approach that was adapted from its original application to local sequence alignments of protein sequences utilizing Marcov chain Monte Carlo simulation . BonferrPhAST was employed in two prospective applications: A screening for non-nucleoside analogue inhibitors of bacterial thymidine kinase yielded a hit with a distinct structural framework but only weak activity. Screenings for drugs that are not members of the NSAID class as modulators of gamma secretase resulted in a potent modulator with clear structural distinction from the reference compound."}
+{"text": "Most species and the PFTs they represent were ubiquitously distributed along the topoedaphic gradient, but with varying abundances. Overstory-understory comparisons suggest that while future species composition of these woody communities is likely to change, PFT composition is not. Canonical correspondence analysis (CCA) ordination and variance partitioning indicated that woody species and PFT composition in developing woody communities was primarily influenced by intrinsic landscape location variables and secondarily by plant-induced changes in soil organic carbon and total nitrogen content. The ubiquitous distribution of species and PFTs suggests that woody plants are generally well-suited to a broad range of grassland topoedaphic settings. However, here we only examined categorical and non-quantitative functional traits. Although intrinsic soil properties exerted more control over the floristics of grassland-to-woodland succession did plant modifications of soil carbon and nitrogen concentrations, the latter are likely to influence productivity and nutrient cycling and may, over longer time-frames, feed back to influence PFT distributions. Woody plant encroachment into grasslands has been globally widespread. The woody species invading grasslands represent a variety of contrasting plant functional groups and growth forms. Are some woody plant functional types (PFTs) better suited to invade grasslands than others? To what extent do local patterns of distribution and abundance of woody PFTs invading grasslands reflect intrinsic topoedaphic properties versus plant-induced changes in soil properties? We addressed these questions in the Southern Great Plains, United States at a subtropical grassland known to have been encroached upon by woody species over the past 50-100 years. A total of 20 woody species were encountered along a transect extending from an upland into a playa basin. About half of the encroaching woody plants were potential N Increases in the abundance of trees and shrubs have been reported in ecosystems world-wide -3. The r2-fixing to non-fixing; from deep rooted to shallow rooted; and from mesophytic to xerophytic in water relations . Thus, the discrete upland cluster, grove and drainage woodland communities represent examples of topoedaphic mediation of woody plant encroachment and community development. In this study we sought to determine if there were fundamental differences in the species and PFT composition of these communities that might shed light on how the shrub encroachment process plays out on upland and lowland portions of grassland landscapes. Our assessments of species and PFT composition and abundance were conducted across a local landscape-scale gradient. As such, they are not confounded by differences in climate, weather or land use history that can occur when comparing species abundance and community structure at multiple sites within a region or across bioclimatic zones. Here we only selected several categorical functional traits to define different PFTs, which we believe represent a wide range of functional traits that are important. However, including more detailed quantitative traits such as seed size or leaf traits may make our case stronger by providing other important aspects of the community assemblage.P. aculeata, the woody species and PFTs in playa communities were also present and typically common in cluster, grove, and woodland communities have been dying in cluster communities [1] as was evidenced by its absence in our sampling (Table 2). A. farnesiana, representing the same PFT as P. glandulosa, also occurred in clusters, but was not represented in the shrub layer (Table 3) and hence may not persist in the community. However other N2-fixing woody species occur in the shrub layer, so this PFT could still be represented in future vegetation states even with the demise of the current N-fixing PFTs in the tree layer. Prosopis overstory plants were doing well in the other communities (Table 2); and, with the exception of playa communities, was well-represented in the shrub class (Table 3). This suggests that overstory trees of this PFT will be replaced when they die. These observations centered around N2-fixing, deciduous PFTs are consistent with ordination results and suggest two things: (i) significant changes in the species composition of each of these woody plant communities may be forthcoming; and (ii) species-specific rather than PFT-specific differences are driving the compositional dynamics of the woody communities developing on grassland. In other words, while some species may eventually be lost, the PFTs they represent will not be.The woody communities on this former grassland site are relatively young (< 60-100 y of age) and may still be developing. Their species and PFT composition in the future may, to a large extent, depend upon the extent to which the present-day dominants are represented in the understory shrub layer. Overstory Prosopis plants perspective on this former grassland, P. glandulosa can quickly grow roots deeper than the zone utilized by grasses, which enhanced their survival during the earlier stage of their life history [P. glandulosa is an important mechanism of vertical water redistribution. However, the hydraulic lift is temporal dynamic and its effect on understory shrubs varies [P. glandulosa trees [Rooting depth is an important functional trait in savanna ecosystems because niche separation of soil water use at different depth was believed to be an importance mechanism to tree-grass coexistence ,50. In o history . Later is varies . Overallsa trees ,52. Our Relative basal area of evergreen and deciduous woody species are relatively stable along the topoedphic gradient . Faculta2-fixation potential are not necessarily reliable indicators of ecosystem processes related to resource use [The number of woody species in shrub cluster communities and their patterns of occurrence at this site are strongly related to the size/age of the overstory trees . Soils aurce use or decomurce use . 2-fixing PFTs at our site, P. glandulosa was clearly the most aggressive initial invader of the historical grasslands [2-fixation. In addition, most of the other non N2-fixing woody PFTs at this site are bird-dispersed; and the establishment of livestock-dispersed P. glandulosa provides a perching structure attracting birds disseminating seeds of other woody PFTs [P. glandulosa plants colonizing grasslands may therefore be a secondary or coincidental factor influencing the encroachment of other woody PFTs \u2013 a conjecture consistent with our finding that patterns of species and PFT presence/absence and abundance were primarily a function of differences in intrinsic soil physical properties and secondarily related to modifications of SOC and TN by early-establishing shrubs appears to be important in initiating the transition from grassland to shrubland across the catena gradient at this site, our survey gives little reason to expect that the shrubland communities that subsequently develop are following any particular or predictable assembly rules that might consistently reflect PFT responses to changes in microclimate and soils occurring in the transition from grassland to shrubland or woodland. The lack of strong patterns in woody species or PFT occurrence within the four woody plant communities developing on contrasting topoedaphic settings may reflect the fact that PFTs can exhibit considerable convergence in resource use [The results from our study are consistent with assertions of random community assembly in that urce use and that"}
+{"text": "The analysis of structure-activity relationships (SAR) is a central task in medicinal chemistry. The association between chemical structures of biologically active molecules and multiple property and assay data provides the basis for selection, optimization, and evaluation of potential drug candidate molecules.In an endeavour to facilitate the navigation of complex data landscapes and enable intuitive access to SAR information, an interactive SAR analysis platform is being developed at Roche. Focusing on information-rich data visualizations, we aim at supporting the medicinal chemists in their decision-making process, rather than making quantitative or qualitative predictions. The \u201cSAR Analyzer\u201d integrates cutting-edge visualization techniques and enhances them with key capabilities such as real-time interaction with the data, an intuitive user interface, and functionality to easily extract and navigate multi-property data.Here we show how two complementary approaches are integrated in the SAR Analyzer. The \u201cSAR Map\u201d visualization provides a holistic view of the distribution of molecular structures and properties in a data set . MoleculBoth concepts depart from classical SAR data analysis and support scientific reasoning by making SAR information accessible in an intuitive visual way. Linking both approaches allows the analysis of SAR data on different levels of detail and helps to address questions that are relevant in different stages of a medicinal chemistry research project."}
+{"text": "Substantial progress has been made in the treatment of leukemia in childhood. Despite this, leukemia remains a leading cause of pediatric cancer-related mortality and the prognosis is guarded for individuals with relapsed or refractory disease. Standard therapies are associated with a wide array of acute and long-term toxicities and further treatment intensification may not be tolerable or beneficial. The curative potential of allogeneic stem cell transplantation is due in part to the graft-versus-leukemia effect, which provides evidence for the therapeutic capacity of immune-based therapies. In recent years there have been significant advances in the development and application of immunotherapy in the treatment of leukemias, including the demonstration of activity in chemotherapy-resistant cases. This review summarizes immunotherapeutic approaches in the treatment of pediatric leukemia including current results and future directions. Leukemia is the most common form of cancer in childhood. Acute lymphoblastic leukemia (ALL) accounts for approximately 75% and acute myelogenous leukemia (AML) about 20% of pediatric leukemia. Juvenile myelomonocytic leukemia (JMML) and Philadelphia chromosome positive chronic myelogenous leukemia (CML) are rare effect associated with allogeneic SCT is an immunologic reaction mediated by donor lymphocytes against foreign antigens expressed on leukemia cells. This GVL effect plays an important role in leukemia-free survival after transplantation represents the most commonly employed and effective form of immunotherapy for childhood leukemia. SCT can be curative for all subtypes of pediatric leukemia and consensus guidelines for transplantation of acute leukemias have been published can be curative for the treatment of post-transplant relapse, which provides further evidence of the potential of immunotherapy to cure leukemia. Complete remission (CR) rates of 70% or higher are observed in the setting of chronic phase CML, with lower rates (0\u201330%) in accelerated and blastic phase CML, ALL, AML, and JMML gene product have the ability to recognize target antigens on malignant cells. Notably, healthy stem cell donors may have pre-existing leukemia-associated antigen-specific CTLs that can expand in transplant recipients, which may contribute to the eradication of leukemia after allogeneic transplantation (NCT01287104).Natural killer (NK) cells are lymphocytes of the innate immune system that can mediate a potent GVL effect early after SCT through gene therapy techniques. In general, the external domain of CAR constructs consists of a monoclonal antibody variable fragment (Fv), while the internal domains include components of the T cell receptor signaling and often a co-stimulatory signaling domain. CAR transduced cells are designed to enable immune effectors to bind to and induce cellular cytotoxicity against malignant cells that express target differentiation antigens were first generated against human differentiation antigens there has been the expectation that they would be used to treat hematologic malignancies and antibody-dependent cellular cytotoxicity (ADCC). In CDC, the Fc receptor of the MoAb fixes the complement protein C1q and triggers cell death by the activation of the complement cascade. ADCC is mediated by Fc interaction with and activation of effector cells such as NK cells and macrophages. Importantly, ADCC requires functional immune effector mechanisms, which may be deficient in the setting of childhood leukemia in combination with chemotherapy for adults with NHL .A study of the anti-CD22 MoAb epratuzumab in combination with standard chemotherapy was recently completed through the COG (NCT00098839). This trial included an initial cohort with an upfront epratuzumab monotherapy phase demonstrated improved event-free, relapse-free, and overall survival rates without an increase in fatal toxicity, suggesting that perhaps lower and fractionated dosing of this novel agent may be effective and more tolerable than previously tested regimens , which is an anti-CD33 MoAb linked to calicheamicin, a potent antitumor antibiotic. Clinical trials of gemtuzumab ozogamicin as a single agent and in combination with chemotherapy have been conducted in the setting of pediatric AML has been used in the development of recombinant immunotoxins that target human differentiation antigens and less frequently \u03b1-emitters fusion protein, which has potential utility in T-ALL is undergoing clinical development for the treatment of B-lineage hematologic malignancies in children and adults. In a Phase II trial for adults with ALL in MRD+ CR, this agent induced clearance of MRD and a high relapse-free survival rate in most patients in the context of HLA. The generation of a successful T cell response requires the interaction of an appropriate T cell receptor with its cognate antigen/HLA complex as well as co-stimulation or a \u201csecond signal.\u201d This second signal can be supplied in the form of an appropriate cytokine or by direct cell-to-cell interaction through accessory molecules.Numerous leukemia-associated antigens capable of inducing a T cell mediated immune response have been targeted with cancer vaccines. Examples include translocation fusion products, lineage-specific antigens, genes that are expressed aberrantly or in higher than normal levels, histocompatibility antigens and viral-associated antigens expressed by malignant cells. Various antigen sources have been used in vaccine trials. Peptides with defined sequences can be readily synthesized for clinical use and these have been employed most commonly.bcr/abl breakpoint peptide and to avoid specific HLA allele restriction. The ready access to peripheral blood or bone marrow blasts makes this particularly applicable for leukemia vaccine trials. Blasts from children with B-precursor ALL can be rendered capable of presenting antigens by incubation with CD40 ligand and interleukin-4, thus, overcoming their ability to induce T cell anergy (Cardoso et al., The optimal immunotherapy reagents and regimens are expected to vary between diseases and individual cases. Critically important is the need to overcome the immune deficits associated with childhood leukemia and its treatment (Haining et al., Although great strides have been made in the curative treatment of childhood leukemias, further progress will require novel therapeutic approaches (Wayne et al., The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Effective management of peripheral viral loads with anti-retroviral drugs can delay or halt CD4 cell loss for decades. However, patients still face the potential of developing significant HIV-1 associated neurocognitive disorders (HAND). Challenges obtaining relevant clinical samples limit the detailed investigation of the aetiology and neuropathology of HAND and therefore we do not understand the impact of vaccines that confer partial protection on long term neuropathology.We are using immunohistochemical analysis of brain sections from the experimental infection of macaques with SIV to model neuropathology in situations where peripheral viral loads are under effective control.We have established that chronic infection with attenuated SIV, where peripheral viral loads are below detection, still results in pathological changes . We have now extended these studies using a unique conditional live attenuated, doxycycline dependent virus, SIVrtTA. Removal of doxycycline 3 weeks after infection, at the end of the primary viremia results in detectable neuropathological changes in astrocytes, oligodendrocytes, microglia and perivascular macrophage 40 weeks later.We are also investigating the effects of vaccines that confer partial protection on the neuropathology of wild-type SIV infection. A vaccine study using SIV Gag based vaccines comprising three primes with rDNAgag followed by a rAdgag boost resulted in significant delay in acquisition of SIVmac251 administered by low-dose intra-rectal challenge. Furthermore, there was a significant blunting of the primary viremia, but no significant suppression of set-point viral loads compared with naive challenge controls. We are determining the impact of vaccination on the frequency of virus infected cells in the brain collected 20-30 weeks after infection and also comparing the frequency and intensity of neuropathological changes in infected vaccinated and control macaques.These data will enable us to establish the likely neurological benefit of vaccines that do not provide protection against detectable infection."}
+{"text": "Most neurons in the nervous system communicate by sending and receiving stereotyped electrical pulses called action potentials or spikes. The computational capabilities of neural circuits centrally rely on the input-output relations of single neurons. This relation is commonly characterized by its output spike rate in response to a temporally continuous constant input current, sometimes in the presence of additional current fluctuations . If the"}
+{"text": "Traumatic brain injury (TBI) is a contributing factor to approximately one-third of all injury-related deaths in the USA annually. Updated statistical records for TBI in Egypt are lacking. The current research is aiming to estimate the prevalence of TBI in Egypt in order to develop a comprehensive TBI prevention program.A 1-year period descriptive epidemiological study of moderate and severe TBI cases admitted to the emergency department, Cairo main university hospital. The data collection sheet included personal data , incident-related data and both clinical and radiological findings.Table TBI is a serious public health problem in Egypt. Further data interpretation over wider periods of time should be conducted for better understanding of TBI prevalence is highly recommended to develop effective injury prevention programs."}
+{"text": "Epstein-Barr virus (EBV) is associated with AIDS-related lymphomas and other malignancies. We have previously shown that the proteasome inhibitor bortezomib is an activator of EBV lytic gene expression and that these effects are mediated by ER stress and the unfolded protein response (UPR) . We inve"}
+{"text": "The current paradigm for studying hepatitis C virus (HCV) dynamics in patients utilizes a standard viral dynamic model that keeps track of uninfected (target) cells, infected cells, and virus. The model does not account for the dynamics of intracellular viral replication, which is the major target of direct-acting antiviral agents (DAAs). Here we describe and study a recently developed multiscale age-structured model that explicitly considers the potential effects of DAAs on intracellular viral RNA production, degradation, and secretion as virus into the circulation. We show that when therapy significantly blocks both intracellular viral RNA production and virus secretion, the serum viral load decline has three phases, with slopes reflecting the rate of serum viral clearance, the rate of loss of intracellular viral RNA, and the rate of loss of intracellular replication templates and infected cells, respectively. We also derive analytical approximations of the multiscale model and use one of them to analyze data from patients treated for 14 days with the HCV protease inhibitor danoprevir. Analysis suggests that danoprevir significantly blocks intracellular viral production (with mean effectiveness 99.2%), enhances intracellular viral RNA degradation about 5-fold, and moderately inhibits viral secretion (with mean effectiveness 56%). The multiscale model can be used to study viral dynamics in patients treated with other DAAs and explore their mechanisms of action in treatment of hepatitis C. Chronic infection with hepatitis C virus (HCV) remains an important health-care problem worldwide despite significant progress in the development of HCV therapy since the discovery of the virus in 1989. Current treatment options are focused on direct-acting antiviral agents (DAAs) that target specific steps of the HCV life cycle. Danoprevir, one of the DAAs that inhibit the HCV NS3-4A protease, has induced substantial viral load reductions in patients receiving therapy. We study the viral decline during therapy using a multiscale age-structured model that accounts for the dynamics of intracellular viral replication, and which includes the major steps in the HCV life cycle that are targeted by DAAs. We examine the biological parameters contributing to different phases of the viral decline after treatment initiation. We also explore the mechanisms of action of danoprevir and estimate its treatment effectiveness. The multiscale model provides a theoretical framework for studying virus dynamics in hepatitis C patients treated with other DAAs currently in clinical development, and may help one to optimally combine drugs with complementary modes of action to maximize the HCV cure rate. Hepatitis C virus (HCV) infection is a major cause of chronic liver disease and a leading reason of liver transplant in the world. About 130\u2013170 million people are chronically infected with HCV in vivo antiviral effectiveness remain unclear. Yet such information is critical for combining PIs with other direct-acting antiviral agents (DAAs) that have independent mechanisms of action to yield highly potent drug cocktails.The approval in 2011 of two HCV protease inhibitors (PIs), telaprevir and boceprevir, to be used in combination with PEG-IFN/RBV, marked an undisputable milestone for HCV therapy, with the SVR rate in phase 3 clinical trials higher than 70% in HCV genotype 1 treatment-naive patients Mathematical modeling of HCV kinetics has provided valuable insights into the modes of action of PEG-IFN/RBV in vivo antiviral potency of danoprevir in blocking different stages of viral replication, e.g., reducing intracellular viral RNA production, enhancing its degradation, and inhibiting viral assembly or secretion.In this paper, we use a multiscale model of HCV infection and treatment that includes the age structure of infected cells, as well as the dynamics of intracellular viral replication, in order to understand the effects of PI therapy. An approximation of this model was applied to understanding the kinetics of viral decline observed during the first two days following one dose of daclatasvir, a DAA that inhibits the HCV NS5A protein The viral kinetic data we analyzed are from eight treatment naive patients who were infected with HCV genotype 1 and treated with danoprevir monotherapy (200 mg tablets three times a day) for 14 days in vivo antiviral effectiveness of therapy . Let Combining the equations governing the vRNA kinetics and the cell infection dynamics given by e an ODE if wereUnlike the standard biphasic model, three different antiviral effects of therapy with DAAs can be distinguished in the multiscale model, namely blocking vRNA production . For the pre-therapy model, we note that LetWe assume that that see after inWe first approximate the viral load decline by assuming that after therapy is initiated infected cells remain at their steady-state distribution, i.e., Using tain see (15)wherein vitro cell culture systems have shown that under potent therapy vRNA declines continuously and that a complete eradication of vRNA can be obtained after weeks of treatment Alternatively, we can approximate the viral load decline by neglecting all new infections after the onset of therapy, i.e. assuming With an exponential decay in vRNA production during treatment, the Using this new equation for tain see (17)In thUnder effective drug therapy, the viral load decreases and the rate of new infections, The presence of three exponential terms in the long-term approximation Three exponential terms do not mean that a triphasic viral decline will always be observed during therapy. In fact, we show in dictions . In Textin vitroWe analyzed patient data using the long-term approximation of the multiscale model under therapy. The long-term approximation has 11 pic model . Because), and , which a decline .The long-term approximation of the multiscale model provides good fits to the viral load data. The best fits are shown in ents see . Becauseth mean .The viral load decline after day 2 is due to a combined effect of the loss of infected cells, with rate vir was , i.e., 3The estimate of ound see , which istimate .We also tested the sensitivity of our estimates to changes in the values of ifferent . Specifiin vitro, in the HCV replicon model, as well as in treatment-naive and treatment-experienced patients in combination with PEG-IFN/RBV in vivo antiviral efficacy remain unclear.Direct-acting antiviral agents that interfere with various intracellular molecular processes in the HCV life cycle are revolutionizing therapy for patients chronically infected with HCV The standard biphasic viral dynamic model is commonly used to study HCV dynamics in patients on therapy and to estimate the values of parameters such as the virion half-life, the productively infected cell loss rate, and the effectiveness of therapy in blocking viral production. By fitting this model to the viral load decline in HCV patients receiving high daily doses of IFN, Neumann et al. In this paper, we introduced a more sophisticated multiscale model including intracellular viral replication that can be used to study the viral kinetic changes in patients treated with DAAs. Unlike the standard biphasic model that only considers the effect of treatment in reducing the average viral production/release per infected cell Analysis of the multiscale model shows thWhen therapy only moderately blocks viral assembly/secretion, as shown with danoprevir or IFN [Why danoprevir and telaprevir enhance the intracellular viral RNA degradation rate remains unclear. It might result from the restoration of cellular antiviral capabilities Approximately two days after the start of danoprevir therapy, a subsequent and persistent phase of viral decline was observed that was about three times faster than typically found during IFN-based therapy in vivo fitness of drug-resistant HCV variants, and quantify the effects of resistant variants on the kinetics of HCV RNA decline. In addition, the current model assumes constant drug efficacy. Pharmacokinetic/pharmacodynamic models could be included to describe the time-varying treatment effectiveness The long-term approximation in which all new infections are neglected agrees well with the prediction of the full model in the context of an effective therapy. However, the approximation cannot be applied to the full data set from three patients in which viral rebound was observed during the 2-week monotherapy. Virologic escape during danoprevir monotherapy was reported to be HCV subtype dependent and mainly due to the emergence of drug resistance associated with the substitution R155K In the context of potent therapy leading to a continuous viral decline, mathematical analysis of the standard biphasic model has shown that an additional effect of drug in blocking infection and/or viral entry has no or very limited effect on the kinetics of viral decline Another limitation of our model is that we have assumed that In summary, we employed a multiscale model that includes both intracellular RNA replication and extracellular infection dynamics to study the viral load change in HCV patients treated with DAAs. We determined the biological parameters that contribute to different phases of viral decline after initiation of therapy. Applying the model to viral load data from patients treated with a new HCV protease inhibitor, danoprevir, suggests that danoprevir significantly blocks intracellular viral production and enhances viral degradation, while it moderately inhibits viral assembly/secretion. The multiscale model provides a theoretical framework that can be used to explore the mechanisms of action of other DAAs and thus should be useful in furthering drug development for HCV and for optimizing antiviral therapy.Text S1Model analysis and approximation.(PDF)Click here for additional data file."}
+{"text": "The cell division cycle comprises a sequence of phenomena controlled by a stable and robust genetic network. We applied a probabilistic genetic network (PGN) to construct a hypothetical model with a dynamical behavior displaying the degree of robustness typical of the biological cell cycle. The structure of our PGN model was inspired in well-established biological facts such as the existence of integrator subsystems, negative and positive feedback loops, and redundant signaling pathways. Our model represents genes interactions as stochastic processes and presents strong robustness in the presence of moderate noise and parameters fluctuations. A recently published deterministic yeast cell-cycle model does not perform as well as our PGN model, even upon moderate noise conditions. In addition, self stimulatory mechanisms can give our PGN model the possibility of having a pacemaker activity similar to the observed in the oscillatory embryonic cell cycle."}
+{"text": "The classical form of diagnostic imaging includes X-ray-based imaging systems, magnetic resonance imaging (MRI), and sonographic imaging. Such imaging systems in a given clinical situation document the findings which reflect the end effect of molecular/biochemical changes associated with a particular disease condition. The lack of information at molecular or cellular level as a precursor to a disease condition resulted into emergence of \u201cMolecular Imaging.\u201d This approach is expected to provide an imaging tool that enables visualization, characterization, and measurement of biological events at molecular and cellular level both in human being and other living species. Broadly speaking, molecular imaging investigates molecular signature of the disease through measurement and characterization of biological processes in a molecular or cellular compartment and thus enables opportunities to replace population-based treatment methods by personalized genotype/phenotype-adapted concepts. If this In other words, cell growth or destruction responsible for biochemical changes can be visualized and quantified by using molecular imaging techniques so as to delineate disease pattern specific to an individual(s) in its early stages. Such findings would score in terms of personalized medicine based on physiological and/or biochemical changes particularly when it is well known that anatomical/structural changes in a given disease condition appear much later than the biochemical changes.A wide range of fast emerging techniques rely on visualization of biological events or biochemical changes in a biological system. These include molecular nuclear medicine, magnetic resonance spectroscopy (to identify proteins produced during the progression of the disease), and bioluminescence imaging. These techniques can also be successfully deployed to differentiate between rapidly proliferating tumor cells and normal cells. In addition, these techniques can be used to depict angiogenesis of formation of new blood vessels. Thus the quantification of cellular changes with time enables characterization of disease process.Nuclear medicine with latest developments in terms of positron emission tomography (PET) radiopharmaceuticals and fusiThus, the hybrid imaging owing to its capability to provide physiostructural information shall continue to be the cornerstone in molecular imaging. It wouldIn the era of personalized medicine molecular imaging with appropriate biomarkers/probe would initiate a concept of individualized imaging and hence individualized diagnosis as well as treatment. Such tre"}
+{"text": "The membrane proximal external region (MPER) of the HIV surface glycoprotein gp41 is the binding site for several potent broadly neutralizing antibodies. These antibodies recognize highly conserved linear peptide epitopes and antigens derived from this region have the potential to be important components of a vaccine directed against HIV-1. Highly conserved peptide epitopes for these antibodies are sterically obscured from the immune system by an intimate association with the viral membrane and by the presence of a large trimeric glycoprotein spike. As a result, previous attempts to immunize with linear peptides have failed to elicit broadly neutralizing antibodies.In order to better mimic the structural features of the MPER domain with an eye towards better understanding of epitope-antibody interactions near membranes, peptide mimics derived from HIV gp41 have been synthesized with a variety of structural changes including positioning of the epitope with respect to the membrane as well as the presence and nature of an anchoring transmembrane domain. These peptide mimics have been incorporated into membrane bilayer mimics called \u201cNanodiscs,\u201d which are ~10 nm-diameter structures composed of a phospholipid bilayer ringed by an apolipoprotein-derived scaffold protein.We have examined the affinity of HIV-1 neutralizing antibodies to these membrane-bound peptides to better understand the binding of these neutralizing antibodies to epitopes on or near a membrane. Significant differences in binding have been observed between peptides with different transmembrane domains.We have chemically synthesized peptide mimics of gp41 and incorporated them into artificial membrane bilayers. The peptides are anchored with both native and artificial transmembrane domains, and both the presence and nature of the transmembrane domain modulates antibody binding. Membrane presentation of peptide antigens with an appropriate transmembrane domain may be an important feature of vaccine design."}
+{"text": "Following the discovery of the vasorelaxant properties of nitric oxide (NO) by Furchgott and Ignarro, the finding by Bredt and coll. of a constitutively expressed NO synthase in neurons (nNOS) led to the presumption that neuronal NO may control cerebrovascular functions. Consequently, numerous studies have sought to determine whether neuraly-derived NO is involved in the regulation of cerebral blood flow (CBF). Anatomically, axons, dendrites, or somata of NO neurons have been found to contact the basement membrane of blood vessels or perivascular astrocytes in all segments of the cortical microcirculation. Functionally, various experimental approaches support a role of neuronal NO in the maintenance of resting CBF as well as in the vascular response to neuronal activity. Since decades, it has been assumed that neuronal NO simply diffuses to the local blood vessels and produce vasodilation through a cGMP-PKG dependent mechanism. However, NO is not the sole mediator of vasodilation in the cerebral microcirculation and is known to interact with a myriad of signaling pathways also involved in vascular control. In addition, cerebrovascular regulation is the result of a complex orchestration between all components of the neurovascular unit also known to produce NO. In this review article, the role of NO interneuron in the regulation of cortical microcirculation will be discussed in the context of the neurovascular unit. Nitric oxide (NO) is a small inorganic, labile gaseous molecule originally identified as endothelium-derived relaxing factor (EDRF) mediating relaxation of blood vessels . CBF autoregulation is the primary mechanism ensuring that the flow and supply of oxygen, glucose, and nutrients through the vascular beds remain within the upper and lower limits of the autoregulatory range (50\u2013160 mm Hg) during fluctuations in systemic arterial pressure. NVC is the dynamic link between neuronal energy needs and hemodynamic changes. In the cortex, NVC depends on the complex interplay between neurons, astrocytes, and microvessels that form the \u201cneurovascular unit\u201d , hydrogen ions, and adenosine produced by ATP catabolism in response to neuronal activity attenuate the CBF increase induced by stimulation of the basal forebrain and NO-synthesizing fibers as well as from the brainstem 5-hydrotryptamine (5-HT) afferents in both rat and human and O2 (PaO2) provoke dilation and constriction, respectively. In several mammalian species including humans, it has been reported that blockade of NO synthesis with NOS inhibitors attenuates CBF responses to hypercapnia channels to induce dilation of cerebral parenchymal arteries channels. This is consistant with the presence of hypercapnic vasodilation in isolated arteries in concert with NOS participation in the acidosis-induced vasodilation or thalamocortical \u2014results in increased cortical CBF associated with the recruitment of distinct populations of interneurons and cyclo-oxygenase (COX)2 pyramidal cells neurons is stimulated by glutamatergic neurotransmission NMDA increases NO production around arteries as demonstrated by the accumulation of NO degradation products in the cerebrospinal fluid surrounding the arteries -2-amino-3-(3-hydroxy-5-t-butylisoxazol-4-yl) propionic acid (ATPA) seems to result from different stimulation frequencies. Indeed, ionotropic nNOS inhibition reduces CBF responses to all stimulation frequencies by 50% , is capable of increasing NOS activity in vivo through an IP3-dependent mechanism dependent mobilizing agent cyclic ADP-ribose gene, and accessory \u00df subunits that modulate channel gating Ca2+ in astrocytic endfeet determines the nature of the vascular response with moderate elevations causing dilation and larger elevations causing constriction. The constrictive responses in preconstricted arteries in brain slices incubated in artificial cerebrospinal fluid with stable levels of oxygen seem to be entirely dependent on BK channels is often used as a marker of changes in neuronal spiking activity. In reality, fMRI detects CBF through the arterial spin label method or blood oxygenation levels (BOLD) which reflects the shift of the ratio between the local concentration of oxygenated and deoxygenated hemoglobin due to increased oxygen extraction and increased oxygen supply. Unfortunately, the relationship between hemodynamic changes and the actual underlying response is still poorly understood. Anatomical and physiological data about NOS interneurons strongly suggest a non-linear relationship between neuronal activity and fMRI signals. In fact, NOS interneurons account for 0.3% of all cortical neurons but for about 50% of the vascular response to neuronal stimulation. In addition, the inhibition of nNOS with 7-NI clearly reduces the BOLD response upon electrical forepaw stimulation while the somatosensory-evoked potentials are still clearly detectable and only slightly reduced in amplitude (Burke and Buhrle, However, interneurons may act as \u201clocal integrators\u201d of cortical activity and therefore have important implications for the resulting neuronal activity and functional brain imaging (Buzsaki et al., NOS interneurons are strategically positioned close to blood vessels and seem to be involved in the control of CBF. In NVC, the mechanisms by which NO intervenes are particularly complex. Actual data suggest that NO from interneurons play a cGMP-dependent mediator role in the initiation of the vascular response to neuronal activation followed by a cGMP-independent modulatory role of astrocytic signals, which could lead to a vasodilation at moderate concentrations or a vasoconstriction at higher concentrations. NO from different sources also seems to coordinate the signal propagation of vasodilation upstream as well as the length of the response. The involvement of inhibitory NOS interneurons in NVC implies that the relationship between neuronal activity and CBF is non-linear. Therefore, a better understanding of the role of NOS interneurons in the control of CBF will allow a better modelization and interpretation of BOLD signal used in fMRI studies.Since the discovery that NO is a powerful vasodilator, we have made many observations to support its pivotal role in the cerebrovascular regulation. However, a complete understanding of the origin of NO and the pathways by which it controls the vascular tone is still missing. Additional studies will have to be conducted to further determine how NO intervene in NVC, how it is released upon activation and how it interact with astrocytes. As pharmacological blockers show evident limitations when it comes to cell-type specificity, new techniques to unveil the direct involvement of NOS expressing interneurons in NVC have yet to be developed. A few transgenic mice models like the Arx (Colombo et al., The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Introduction. As minimally invasive surgery becomes the standard of care in neurosurgery, it is imperative that surgeons become skilled in the use of image-guided techniques. The development of image-guided neurosurgery represents a substantial improvement in the microsurgical treatment of tumors, vascular malformations, and other intracranial lesions. Objective. There have been numerous advances in neurosurgery which have aided the neurosurgeon to achieve accurate removal of pathological tissue with minimal disruption of surrounding healthy neuronal matter including the development of microsurgical, endoscopic, and endovascular techniques. Neuronavigation systems and intraoperative imaging should improve success in cranial neurosurgery. Additional functional imaging modalities such as PET, SPECT, DTI (for fiber tracking), and fMRI can now be used in order to reduce neurological deficits resulting from surgery; however the positive long-term effect remains questionable for many indications. Method. PubMed database search using the search term \u201cimage guided neurosurgery.\u201d More than 1400 articles were published during the last 25 years. The abstracts were scanned for prospective comparative trials. Results and Conclusion. 14 comparative trials are published. To date significant data amount show advantages in intraoperative accuracy influencing the perioperative morbidity and long-term outcome only for cerebral glioma surgery. Frame-based navigational systems are the most traditional guidance option and have the advantage of being extremely accurate because a rigid head frame is fixed to the skull. Disadvantages include patient discomfort during frame placement, time taken to calculate the trajectory, and inability to project or image where the biopsy probe is. In fact it is a\u201cblind\u201d procedure via a small burr hole without having control over the stereotactic pathway and any complications (bleeding or missing the preplanned aim) during the surgery may be inaccurate mostly because of scalp movement, geometrical distortion in the images, and movement of the patient with respect to the system during surgery. Another relevant source of inaccuracy is the so-called brain shift (movement of the brain relative to the cranium between the time of scanning and the time of surgery). Due to these sources of error, the usefulness of surgical navigation may diminish during the surgical procedure. As dynamic changes of the surgical field regularly occur during the surgical procedure, the surgeon is faced with a continuously changing intraoperative field for which the preoperative data does not provide any information. It is clear that only intraoperatively acquired images will provide the neurosurgeon with the online information he needs to perform real intraoperative image-guided surgery. A number of high-tech tools for use during neurosurgical procedures have been developed in recent years, like intraoperative navigated ultrasound and dedicated moveable intraoperative CT units. However, MRI currently is and definitely will be in the future the superior imaging method for intraoperative image guidance.After the era of X-ray view boxes, technological evolution permitted the use of real-time imaging such as fluoroscopy and intraoperative ultrasound. The introduction of computed tomography (CT) in the 1970s and magnetic resonance imaging (MRI) in the 1990s led to neuronavigation systems for surgical planning and working. Whether image guidance techniques are advantageous remains questionable for the last decades. Valuable information from numerous large prospective randomized trials are not available to date and a definite effect on long-term outcome needs yet to be proven. Therefore, the surgeon is left to decide on a case-by-case basis whether to perform surgery with or without neuronavigation. Beside this there will be an increasing pressure on neurosurgeons to justify the costs involved by showing that patients will actually benefit from complex image-guided treatments.A PubMed literature search using the terms\u201cimage guided neurosurgery\u201d was performed. More than 1400 articles were published during the last 25 years. All the abstracts were scanned for interesting historical and technical notes but especially for comparative clinical trials (either retro- or prospective), which is the focus of this overview.Image guidance in neurosurgery is today a frequently used tool for operations of many brain lesions, mostly for small and deeply subcortical located brain tumors or cavernomas . The incdetailed preoperative planning ;integration/fusion of MRI/CT images and functional data ;limited surgical exposure;more precision in approach;more precision in biopsy;more precision in catheter/electrode placement;guidance and control of tumor resection/foreign body removal;optimizing the size of intraoperatively buildt cranial reconstruction devices;monitoring complications (using intraoperative MRI or ultrasound).The most important step in the development of cranial neuronavigation was the availability of intraoperative MRI (ioMRI) which has led to a variety of differently designed systems and concepts . NowadayThough neuronavigation has become a routinely used addition to the neurosurgical armamentarium, its impact on surgical results has not yet been examined sufficiently for all indications. The most important and best examined use of neuronavigation and ioMRI is for cerebral glioma surgery. To achieve total tumor resection is the primary goal of these operations, but its positive effect on survival of the patients was controversially discussed for several decades , 10. HowP = 0.023). Postoperative rates of new neurological deficits did not differ between patients in the intraoperative MRI group (three [13%] of 24) and controls . No patient for whom use of intraoperative MRI led to continued resection of residual tumour had neurological deterioration [P < 0.01) reduced mean percentage of tumor volume following additional further resection after iMRI and they concluded that MRI in conjunction with multimodal navigation and an intraoperative updating procedure enlarges tumor-volume reduction in glioma surgery significantly without higher postoperative morbidity [In a retrospective single center analysis the median survival periods of patients receiving gross total resection for malignant astrocytoma and neuronavigation (versus no neuronavigation) were 16 (versus 9) months and 16 (versus 10) months, respectively. The percentage of a gross total resection was significantly higher in the neuronavigation group compared to that in the no-navigation group (64.3% versus 38.2%). Neurological deterioration occurred in 4 of 42 (9.5%) and in 6 of 34 (17.6%) patients after surgery with neuronavigation and surgery without neuronavigation . In anotioration , 28. In orbidity .Although the number of prospective randomized studies is low at the moment, the controversies to use image-guided neurosurgery for the resection of cerebral glioma (either low or high graded) increasingly are unjustified. That is what Kubben et al. concluded in their review, too . The sufFrameless stereotactic neurosurgery is increasingly being used for the biopsy of intracranial tumors and the resection of deep-seated lesions where reliance on surface anatomic landmarks can be misleading, as well as in movement disorders, psychiatric disorders, seizure disorders, and chronic refractory pain \u201345. NascOne of the goals of brain surgery is to avoid damage to eloquent cortex and subcortical white matter. Diffusion tractography remains the only noninvasive method capable of segmenting the subcortical course of a white matter tract and has rapidly become an important clinical tool that can delineate functionally important white matter tracts for surgical planning \u201318, 46, The intraoperative use of MR imaging in neurosurgery has just started and future developments in this technology will surely add to the rapidly evolving field of MRI-guided neurosurgery . PreoperRobots are used more routinely nonremotely, for precision in carrying out certain procedures, such as skull base approaching craniotomies . The typImage-guided surgery is technically demanding and a learning curve has to be completed. Minor inaccuracies in the handling of the technical equipment might translate into major surgical errors. These errors, once implemented are systemic errors that propagate through the whole procedure. Navigation systems might become an important cornerstone in neurosurgery education. While today neurosurgery education takes place in the OR and to a lesser degree in cadaver and hands-on workshops the systematic development of education and training modules using navigation technology might offer a new way to develop and improve the perceptive and locomotive capabilities necessary to perform surgery on an organ that has a complex three-dimensional anatomy which is to a large extent hidden from direct visual perception . HoweverSince the integration of 3D image processing and real-time tracking of smart tools, the feasibility of image-guided approaches of many application in cranial surgery has been proven. Currently, the question whether the implementation of an extremely costly high-tech tool like the MRI in the neurosurgical operating room represents a technical overkill restricted to only a very small number of high-class neurosurgical centers, or whether it is and will be a major breakthrough in modern neurosurgery cannot be clearly answered, possibly except for the surgery on cerebral glioma. As an increasing number of ioMRI units will be installed in neurosurgical operating theatres worldwide, one have to await the increasing scientific evaluation of this technology, which will help to define the future role of neuronavigation and its integrated functional imaging and physiological data."}
+{"text": "Patients with non-Hodgkin's lymphoma (NHL) are in need of better predictive and prognostic markers; this to be able to more accurately inform them in the clinical setting about their likely future and to better inform clinicians and clinician-researchers about treatment decisions. One of the major impediments to the development of such markers in NHL has been the relative lack of access to well-preserved tumor tissue as the bulk of these cancers reside in secondary lymphoid organs. Procurement of tissue from affected lymph nodes for molecular risk stratification only has not yet been adopted as standard clinical practice.One of the ways a biomarker with clinical value in NHL could be developed is through analysis of shed tumor products in plasma or serum from patients carrying NHLs. This is the approach taken by He et al., 2011 in work reported in this issue of Oncotarget [The authors demonstrate that they could identify the rearranged Ig genes in primary human NHL-derived DNA and also in paired DNA derived from patient's plasma. They went on to show that they could amplify rearranged Ig fragments from an additional set of NHL patients using just plasma as a source of DNA. To support the analysis of the large collection of DNA sequence tags generated from each sample they developed a set of novel software algorithms for Ig gene identification. In summary, in the majority of patients analyzed the authors were able to identify the tumor-derived Ig sequences and also to enumerate the frequency of these in the input DNA.One of the most important questions related to this innovative work is whether the approach chosen has identified a tumor mass marker in patients with NHL and whether such a features can be clinically exploited. To answer this question, the further development of this potential new biomarker will need to proceed in an organized and logical manner to fully explore its ultimate potential. First, it will be necessary to conduct a new study using a larger collection of paired patient samples (primary tumor and paired plasma) to generate data on the sensitivity and specificity for plasma-derived DNA testing referenced against tumor DNA as the gold standard. Tests in large cohorts of individuals without known NHL may also be needed to obtain estimates on false positive calls.Next, and possibly within the same trial, initial estimates for this marker as a tumor mass marker should be obtained. Here, development will be complicated by the absence of validated test that accurately measure total body tumor burden in NHL. Nonetheless, a study correlating results from serial cross-sectional imaging with normalized numbers of tumor specific Ig-tags could be designed. For such a study it would be important to also perform the DNA test serially past completion of the induction chemotherapy program to obtain estimates on the temporal relation of CT findings and Ig-DNA levels. Somewhat complicating such an analysis is the current uncertainty as to what lymphoma cells (live cells or dead cells) actually contribute to and in what proportion to the plasma-detectable DNA.Future detailed clinical development of this marker would probably best be done within specific NHL subtypes and targeted to clinical situations in which current tumor mass assessments are semi quantitative at best. Within the setting of B-cell-derived NHLs, a number of clinical applications could be envisioned:Diffuse large B-cell lymphoma (DLBCL), the most common NHL subtypes is treated relatively uniformly using the R-CHOP regimen as front-line therapy. Currently, only approximately 45-50% of patients are cured. While further risk stratification using either clinical tools or imaging tools (like PET-CTs performed during or after completion of planned therapy) can be accomplished, one wonders whether serial quantitative IgH DNA analysis as described here could be used to predict which patients are cured and which subset will relapse.A similar scenario can be identified in mantle cell lymphoma (MCL) for which intensified regimens like the NORDIC regimen can achieve remission-free states and possible cures in a substantial subset of cases. Could plasma-based IgH DNA analysis performed after the completion of the chemo-auto-Tx protocol be used to identify long term survivors?Finally, with the recent resurgence of maintenance therapy approaches in follicular lymphoma (FL), could IgH DNA analysis be used to identify patients that may most benefit from such an intervention?In summary, the elegant pilot study by He et al , has ope"}
+{"text": "Non-coding RNAs are key players in many cellular processes within organisms from all three domains of life. The range and diversity of small RNA functions beyond their involvement in translation and RNA processing was first recognized for eukaryotes and bacteria. Since then, small RNAs were also found to be abundant in archaea. Their functions include the regulation of gene expression and the establishment of immunity against invading mobile genetic elements. This review summarizes our current knowledge about small RNAs used for regulation and defence in archaea. In the last years more and more bacterial RNA populations have been analyzed with deep-sequencing methodologies revealing also a high amount of cis-encoded antisense RNAs were found.The first experimental identification of an archaeal sRNA population was performed with the euryarchaeon Sulfolobus solfataricus. Here, two different approaches were used: experimental RNomics than trans-encoded sRNA (125) were detected. Although an increasing number of cis-antisense sRNAs are being identified, the number of trans-encoded sRNAs has so far been higher than the number of cis-antisense sRNAs found. This is the first case, where cis-antisense RNAs outnumber the trans-encoded sRNAs and the trans-encoded sRNAs (21\u00a0%) were conserved in M. mazei and Methanosarcinabakeri and M.acetivorans. Several of the cis-antisense sRNA candidates are encoded on the opposite strand to transposase genes indicating a post-transcriptional regulation of transposon mobility by antisense RNAs, a mechanism previously observed for insertion elements in S. solfataricus . Up to now the expression of 88 out of 130 randomly selected sRNA candidates was confirmed using northern blot analyses. Differential expression in response to the nitrogen source was confirmed for 18 small RNAs, representing the first prokaryotic regulatory RNAs potentially involved in nitrogen stress response. Based on these findings and the strong conservation a crucial role of sRNAs in the nitrogen or general stress response has been proposed for M. mazei were sequenced using HTS. Six different cDNA libraries were constructed from RNA isolated from cultures grown at standard growth conditions, low salt conditions and high temperature, each at exponential and stationary phase. Altogether 145 H. volcanii revealed the presence of 11 tRFs, suggesting that these types of small RNAs are also active in archaea. Northern blot analyses showed the stable presence of these fragments in the cell . Demonstration of sRNA sequestering the predicted ribosome binding site as well as the translation start codon of its target mRNA in vitro strongly argues that the interaction is likely to inhibit translation initiation, a mechanisms up to now exclusively described for bacterial sRNAs. Additional evidence was obtained by a genetic approach that this sRNA is involved in regulating the metabolic switch from methanol to methylamines fueled methanogenesis, most likely by the above-mentioned post-transcriptional regulation .Very recently, target analysis based on whole transcriptome changes in mutant strains combined with genome-wide in silico target predictions using the tool IntaRNA which is subsequently processed by Cas6 or related enzymes into short, regulatory crRNAs recognize a stable hairpin the lies immediately upstream of their cleavage sites within these proteins coined the classification as Cmr (Cas module RAMP) proteins. Isolated P. furiosus Cmr module complexes contained six to seven Cas proteins and mature crRNAs complex targets and cleaves RNA instead of DNA and a crRNA . Here, a spacer from one of the genomic CRISPR loci was cloned into a Haloferax plasmid and potential PAM motifs were added adjacent to this spacer sequence. Using this method, six different PAM sequences were identified which are required for target recognition during the defence reaction in H. volcanii. This is the first CRISPR group for which more than two PAM sequences have been identified. Using the plasmid-based invader set-up it was shown that the CRISPR/Cas system of H. volcanii is targeting DNA. Cells which could escape the defence reaction did so by deleting the complete cas gene cassette or the protospacer on the plasmid or the corresponding spacer in the chromosomal CRISPR locus .Since there is only limited sequence information available concerning archaeal viruses it is often not possible to identify PAM sequences for archaeal CRISPR/Cas systems by matching spacer sequences to viral sequences. Therefore, plasmid-based invader sequences have been established and successfully been used the genes for the aCascade unit and (b) a proposed Cascis unit (CRISPR-associated complex for the integration of spacers) . The transcription of the cascade genes is modulated by changes of environmental parameters, like UV-light exposure or high ionic strength, indicating a tight regulation of cas genes in vivo. The two multi-subunit complexes aCascade and Cascis could be generated by the reconstitution of all individually insoluble recombinant proteins encoded within the operons, which suggests interaction and coordination of these Cas proteins or RNA (e.g. CMR complex)? The targeting of DNA allows for the usage of spacers that derive from either the sense or the antisense strand of a viral genome. Targeting RNA of mobile genetic elements would limit the choice of protospacers to sequences that are complementary to the given mRNA. On the other hand, DNA targeting poses the problem of discriminating viral DNA from host DNA as any genomic CRISPR sequence would provide a crRNA target. This discrimination is achieved by the use of PAM sequences as described above. PAM sequences were not observed to be required in the targeting of the CMR complex. Therefore, this mechanism might have evolved to free the CRISPR/Cas system from the requirement of certain protospacer flanking sequences and would provide an antiviral defense system that can complement DNA-targeting CRISPR/Cas subtypes.The described identification of diverse small non-coding RNA families in archaea showcases the growing realization of the importance of these RNA species in this third domain of life. Modern high-throughput sequencing methods will reveal the RNome composition of further archaeal species. This information can then be combined with necessary functional studies on individual sRNA and crRNA molecules together with the identification of their target sites and should help us to validate the full scope of their influence on cellular processes."}
+{"text": "This review describes the development towards actomyosin based nanodevices taking a starting point in pioneering studies in the 1990s based on conventional in vitro motility assays. References are given to parallel developments using the kinesin\u2013microtubule motor system. The early developments focused on achieving cargo-transportation using actin filaments as cargo-loaded shuttles propelled by surface-adsorbed heavy meromyosin along micro- and nanofabricated channels. These efforts prompted extensive studies of surface\u2013motor interactions contributing with new insights of general relevance in surface and colloid chemistry. As a result of these early efforts, a range of complex devices have now emerged, spanning applications in medical diagnostics, biocomputation and formation of complex nanostructures by self-organization. In addition to giving a comprehensive account of the developments towards real-world applications an important goal of the present review is to demonstrate important connections between the applied studies and fundamental biophysical studies of actomyosin and muscle function. Thus the manipulation of the motor proteins towards applications has resulted in new insights into methodological aspects of the in vitro motiliy assay. Other developments have advanced the understanding of the dynamic materials properties of actin filaments. Molecular motors transport and sort cargoes in cells and underlie both cell-, and organism-motility. As such they are key effectors in the running of cellular fabrication and analysis systems, e.g., those requiring transportation of building blocks and signalling molecules between the nucleus and the cell periphery is more limited unless the results are essential for full understanding of the developments of actomyosin based devices. For further details on the microtubule\u2013kinesin system, the interested reader is referred to some quite comprehensive review articles the resulting contact angle has been in the range 70\u201380\u00b0 and with good actomyosin motility. When using vapour phase silanization of thermally grown SiO2 in a fume hood . In an independent study of motility on various polyelectrolyte substrates at about the same time of HMM propelled actin filament sliding is correlated with the surface charge for which U-turns are at all possible is given by the following expression:kT is the Boltzmann factor, LP is the actin filament persistence length, d is the width of a band along the filament (centred on the filament) where myosin heads are available for attachment, f is the duty ratio and Gbind is the average binding energy of the attached myosin heads. This expression suggests that channel widths <300\u00a0nm would not allow U-turns of HMM propelled actin filaments. The product nheads is known, then Gbind can be determined on basis of measurements of wu because LP (\u03bcm) has been determined for sliding actin filaments , the mean value is within the previously determined range of 10\u201320\u00a0kT were attached to surface immobilized microtubules on a circular (800\u00a0\u03bcm wide) pick-up zone using biotin\u2013streptavidin links. This assembly of the final device was followed by addition of analyte (GST). Following binding of GST to the microtubule-bound antibodies it was concentrated at the device edges during a period of hours by means of kinesin driven transport.Proof-of-principle concentration/separation and detection schemes have been described recently using the microtubule\u2013kinesin motor system. In one case Fig.\u00a0 Lin et biotinylNotable for the mentioned proof-of-principle devices is that concentration of the analyte for detection was rather slow compared to existing high-sensitivity methods useful device is to extend the shelf-life to months or, preferably years. An important finding in this connection is that we recently to societal levels and molecular motor driven motion and force-generation play key roles in these contexts. Not unexpectedly, there have been efforts to exploit self-organization phenomena in nanotechnology for the formation of more or less complex nano-, micro- or even macroscale structures. However, unlike in the biological systems the building-blocks in artificial systems often suffer from heterogeneity with respect to size, shape and intermolecular interaction sites. Therefore, it is of interest to produce hybrid systems were the perfection of biological building blocks are used to guide self-organization of non-biological molecules or particles. This may be useful for creating structures on different levels of hierarchial organization. Also motor driven transport of cytoskeletal filaments has been exploited in such applications. For instance, stable or meta-stable filament bundles of different shapes and length scales may form in angular sliding direction is drawn from a Gaussian distribution with mean value 0 and standard deviation given by:In addition to the above applications in biosensing and self-organization it is also of interest to consider biocomputation based on molecular motor driven filaments and other motile objects. [for further applications, see reviews (Agarwal and Hess Moreover, a computational process utilizing HMM propelled actin filaments, requires a certain degree of control of transport direction at network nodes and the agents should only be allowed to move forward through the network (Nicolau et al. Of great interest would be the quite realistic development in the near future of practically useful and commercially viable motor driven lab-on-a-chip systems for biosensing in medical diagnostics, environmental and bioterrorism monitoring etc. Moreover, the developments of self-organized systems deserve further exploration. In these studies it would be of interest not only to exploit wild-type but also engineered biological motors (e.g., Tsiavaliaris et al."}
+{"text": "DNA amplification is a powerful technique that has had an immense impact on scientific research in the past 2 decades. While polymerase chain reaction (PCR) is still the most popular method, alternative methods of DNA amplification are constantly being developed. In addition, the extraordinary versatility of PCR has led to its use in novel ways that have opened new avenues of research. These novel methods for DNA amplification and the versatility of PCR are highlighted in DNA Amplification: Current Technologies and Applications.The 17 chapters in this book are divided into 4 sections that focus on enzymes (3 chapters), thermal cycling methods (6 chapters), isothermal methods (6 chapters), and the detection of non-DNA analytes by DNA amplification (2 chapters). Each chapter has a thorough description of methods and highly detailed protocols for applying the technique to at least 1 specific application. Several excellent chapters describe the uses of Phi29 DNA polymerase and of applications using isothermal rolling circle amplification. A chapter on multiple-displacement amplification details the isothermal amplification of total genomic DNA and should prove extremely useful for amplifying DNA in limited amounts, such as DNA from clinical samples. The final 2 chapters describe use of either real-time PCR or rolling circle amplification to detect and quantify non-DNA analytes, such as serum cytokines, with much greater sensitivity than conventional enzyme-linked immunosorbent assay methods.This book is not for the novice scientist, as it does not describe basic DNA amplification fundamentals; rather, it is directed at those with a solid background in molecular biology who desire knowledge of cutting-edge applications. Although many of the detailed protocols will not be applicable to certain laboratory situations, the versatility of most of the methods described will allow them to be easily adapted to other studies. Therefore, this book will be a good addition to the library of researchers in molecular biology or to molecular diagnostics laboratories planning to expand their horizon beyond standard PCR amplification techniques."}
+{"text": "Sickle cell disease is one of the most prevalent genetic diseases worldwide; affecting 1/400 individuals of African descent as well as people of Arab, Indian and Hispanic descents.10The emergence of cardiac complications in sickle cell disease patients could be attributed to the increasing life expectancy observed in these patients. Recent data indicates that 86 to 90% of patients survive to beyond 20 years of age.The mechanism underlying cardiac dysfunction in sickle cell anaemia has been extensively studied and multiple mechanisms have been proposed. In addition to the impaired microvascular circulation from intravascular plugs of sickled erythrocytes, other contributory factors include: extensive fibromuscular dysplastic narrowing of small cardiac arteries, non-inflammatory focal degeneration and apoptosis, platelet abnormalities or similar stimuli for endothelial and smooth muscle proliferation.16Data from clinical studies evaluating left ventricular systolic function using load-independent measures of myocardial contractility have revealed significant systolic dysfunction in sickle cell anaemia patients.19It has been recognised that ischaemic phenomena associated with sickle cell anaemia could elicit morphological and functional abnormalities in the cardiac conducting system, resulting in paroxysmal arrhythmia and could further worsen the ventricular dysfunction.10In the presence of left ventricular diastolic dysfunction, atrial fibrillation and indeed any form of arrhythmia causes significant cardiac decompensation. Atrial fibrillation in sickle cell disease is believed to be due to increase in atrial size with accompanying advanced atrial remodelling and profound global electrophysiological changes in refractoriness. Additional factors affecting atrial refractoriness include autonomic impairment, scars, and changes in the cellular membrane function.21In the light of this, one pertinent question needs to be addressed: what is the clinical utility of P-wave dispersion in sickle cell anaemia? A step towards unravelling this puzzle would involve the examination of the relationship between P-wave dispersion and measures of left ventricular function in sickle cell anaemia patients, and the comparison of the indices with those of appropriately matched controls. In this connection, the article in this issue, \u2018P-wave dispersion: relationship to left ventricular function in sickle cell anaemia\u2019 is of relevance. The authors showed that P-wave duration and P-wave dispersion were significantly increased in sickle cell anaemia and that P-wave dispersion had a negative correlation with indices of left ventricular diastolic function. This novel study provides an interesting insight into the potential value of this simple electrocardiographic tool in the evaluation of ventricular function in sickle cell anaemia. This is especially useful in resource-limited areas of developing countries where access to modern investigative modalities is lacking. Major challenges in the use of this tool are the difficulty in standardisation of methods and the lack of acceptable normal limits of P-wave dispersion in the general population.It is expected that this pilot study will stimulate further research efforts to determine the diagnostic/normal cut-off values, and specificity and sensitivity, as well as the long-term prognostic significance of increased P-wave dispersion in sickle cell disease."}
+{"text": "Here, ccorps is applied to the problem of identifying structural features of the kinase atp binding site that are informative of inhibitor binding. ccorps is demonstrated to make perfect or near-perfect predictions for the binding affinity profile of 8 of the 38 kinase inhibitors studied, while only having overall poor predictive ability for 1 of the 38 compounds. Additionally, ccorps is shown to identify shared structural features across phylogenetically diverse groups of kinases that are correlated with binding affinity for particular inhibitors; such instances of structural similarity among phylogenetically diverse kinases are also shown to not be rare among kinases. Finally, these function-specific structural features may serve as potential starting points for the development of highly specific kinase inhibitors.The protein kinases are a large family of enzymes that play fundamental roles in propagating signals within the cell. Because of the high degree of binding site similarity shared among protein kinases, designing drug compounds with high specificity among the kinases has proven difficult. However, computational approaches to comparing the 3-dimensional geometry and physicochemical properties of key binding site residue positions have been shown to be informative of inhibitor selectivity. The Combinatorial Clustering Of Residue Position Subsets ( ccorps) method is introduced and used to synthesize kinome-wide structure datasets with a kinome-wide inhibitor affinity screening dataset consisting of 38 kinase inhibitors. ccorps identifies structural features of the kinase binding site that are correlated with an inhibitor binding and uses these features to predict if this inhibitor will be capable of binding to uncharacterized kinases. This paper demonstrates the ability of ccorps to accurately predict inhibitor binding and identify features of the kinase binding site that are unique to kinases capable of binding a given inhibitor.The kinases are a group of essential signaling proteins within the cell and are the largest family of enzymes encoded by the human genome. The high degree of binding site similarity shared across the protein kinases has made them difficult targets for which to design highly selective inhibitors, but kinome-wide binding site analysis can help predict unintended off-target inhibitions. Given the increasingly large number of available kinase structures, kinome-wide comparative analysis of binding sites is now possible. In this paper, the Combinatorial Clustering Of Residue Position Subsets ( The protein kinases constitute the largest enzyme family encoded by the human genome, with currently 518 known sequences, making up 1.7% of all human genes atp binding site. However, due to the large number of existing protein kinase domains and the high degree of (atp) binding site similarity among them, designing highly selective inhibitors has proven difficult. For example, type I kinase inhibitors that only target the atp site have typically been found to have low selectivity across the kinome atp site and the immediately adjacent allosteric site. By also binding to the allosteric site, type II inhibitors are able to make additional highly specific interactions, thereby allowing them to be more selective The bulk of this effort has been directed at identifying inhibitors that bind at the Identifying highly specific structural features that can be uniquely targeted by inhibitors can be facilitated by comparative analysis of multiple kinase structures atp binding site and targeting residue variability at a few key positions atp and allosteric sites) simultaneously Many of the effective inhibitor selectivity strategies involve exploiting the differences in the size of the A review of related work is given below. Recent work has illustrated that local structural similarity exists among phylogenetically diverse groups of kinases The PharmMap method Huang et al. have utilized a knowledge-based approach to constructing a minimal binding site \u201cfingerprint\u201d that captures only a pre-specified set of well-studied, structurally selective features, such as the size and hydrogen-bonding ability of the gatekeeper residue feature) kinase binding site pairs. The CavBase atp binding cavities from multiple families across the kinome Rather than relying upon pre-specified structural features, the recently developed Pocketfeature method decomposes a binding site into all possible \u201cmicro-environments\u201d atp binding pocket was demonstrated to be effective at identifying possible instances of inhibitor cross-reactivity and further emphasized the importance of taking into account subtle conformational changes in the binding site.Recent work by Jackson et al. demonstrated a related structural clustering approach to predicting kinase inhibitor binding affinities individual kinases, exhibiting a variety of binding site conformations and bound ligands, provides a vast quantity of structure data that remains unexploited by existing approaches. Much of the difficulty in incorporating multiple conformations per individual kinase sequence into existing analyses stems from the non-uniform distribution of available kinase structures, with kinases such as CDK2 having more than a hundred available crystallographic structures while other kinases have only a single (or no) available structure. Finally, the availability of multiple kinase structures known to bind a given inhibitor and other kinase binding sites known not to bind that same inhibitor provides a rich set of structural examples and counter-examples beyond a single instance of pairwise similarity. Existing receptor-based methods focus on identifying meaningful pairwise similarity to a characterized kinase known to bind a given inhibitor. These methods currently do not account for the similarity of a given kinase binding site to other kinase sites that have been characterized to not bind the inhibitor in question.However, despite the successes of existing approaches, several outstanding problems to identifying structural features of the kinase binding site that are predictive of inhibitor selectivity remain. The reliance upon a single, representative structure precludes the ability of existing methods to identify features common only to active conformations if an inactive structure is chosen as representative (and vice versa). Additionally, choosing one representative structure disregards the role that binding site flexibility and plasticity may play in inhibitor interactions. Furthermore, the availability of multiple structures for ccorps) method. ccorps solves the following problem: given a set of sequence-aligned kinase domains , predict whether a given kinase domain binds the given inhibitor. Taking a set of kinase binding site residue positions as input, ccorps identifies clusters of kinases that share structurally and chemically similar subsets of residue positions. Given a particular kinase with unknown ability to bind a particular inhibitor, ccorps identifies kinase binding sites that share similar residue positions that are both known to bind and not to bind the inhibitor . Finally, ccorps aggregates the residue position subset similarities for all possible To this end we have developed the Combinatorial Clustering Of Residue Position Subsets method is designed to solve a very general semi-supervised learning problem:The Combinatorial Clustering Of Residue Position Subsets . 3-position subsets are used in this work because they allow for a unique 3-dimensional lrmsd superposition and are more computationally tractable than subsets of size In order to identify locally similar features among substructures, all The dissimilarity between a pair of substructures is quantified by a combination of structural distance and chemical feature dissimilarity introduced in pca) to obtain a low-dimensional embedding. Our previous work Text S3. The dimensionality-reduced feature vectors are then clustered to identify sub-groups that share strong structural similarity. The number of clusters is not known beforehand and the number of clusters will vary depending on the set of positions being compared. The Gaussian Mixture Model (gmm) clustering method implemented in the mclust package For a given set of residue positions, we can calculate a matrix of pairwise distances between substructures using the distance measure defined above. Each row can be thought of as a feature vector that represents how different a protein is with respect to all other proteins in terms of the selected residues. The distance matrix is highly redundant. We use Principal Component Analysis . Identification of HPCs is performed by selecting a minimum threshold for the label purity of clusters, and then selecting all clusters with equal or greater label purity than this minimum as HPCs; we used the strictest purity threshold possible (1.0 or 100% purity) in this work .A cluster that is dominated by one annotation label can be used to predict the label for other structures in that cluster whose annotation is unknown. We therefore call such clusters \u201chighly predictive\u201d used to decide which of the two or more label classes to assign to the structure requires the definition of a decision boundary procedure. For example, given a set of annotation labels containing the label classes ccorps is a semi-supervised approach, the labels for the training structures are known and can be used to empirically estimate a vote count decision boundary. For example, given structure falsehpc or a truehpc, across all true and false labels, respectively.Because svms were selected in this paper. First, an svm (linear kernel) is trained using the vote vectors of labeled training set substructures. For example, the decision boundary determined by training an svm on vote vectors is shown in svm decision hyperplane the unlabeled structure falls within. As illustrated in false label. For training svms and calculating the svms, libSVM Given the vote vectors calculated for all labeled training set substructures in the dataset, it is then possible to train any number of classifiers in order to determine a decision boundary. To compute a decision boundary in the vote space for classifying unlabeled proteins, ccorps an extensive dataset of 48 families was automatically constructed using the Pfam database ccorps and the utility of the distinguishing structural features identified. The overall classification accuracy of ccorps (Text S2) when applied to the validation dataset demonstrates the ability of ccorps to identify structural features that distinguish functionally different protein homologs and the ability of ccorps to generalize to non-kinase protein families.To validate the predictive ability of the structural features identified by ccorps to be predictive of inhibitor binding ability are presented. Then, cases of these predictive structural features that are common to phylogenetically diverse sets of kinases are highlighted. Finally, the performance of ccorps for predicting the binding ability of inhibitors across the kinome is quantified and compared to the related approach of Jackson et al. First, we will introduce the components of the kinome structure and affinity datasets used in this work. Next, structural features of the kinase binding site that are identified by atp binding site presented here, a dataset of protein kinase binding site structures was assembled and then mapped to the affinity dataset of Karaman et al. atp binding site and the analysis of shared structural features between major kinase families that is presented later in this paper.In order to enable the kinome-scale analysis of the protein kinase pfam:Pkinase and pfam:Pkinase_Tyr in release 25 of pfam . After the binding site residue positions to analyze were selected, as detailed in the following section, and proteins having one or more gaps at those positions were excluded, a total of 1958 structures remained. These 1958 structures correspond to 208 unique kinase proteins. The distribution of sequences and structures across the seven major kinome families is shown in The kinome structural dataset was constructed from all structures (domains) annotated as belonging to pdb:2pl0 or pdb:3hec were selected as candidate binding site positions. Candidate positions were eliminated if they corresponded to highly gapped columns in either the pfam:Pkinase or pfam:Pkinase_Tyr Multiple Sequence Alignments (msas). After filtering, 27 binding site residue positions remain (shown in pdb:3hec). Imatinib was chosen as a reference inhibitor for selecting the binding site positions to include in the analysis because it is of the large type II kinase inhibitor variety and extends both into the atp binding pocket as well as the neighboring allosteric pocket. The cutoff distance of 5 \u00c5 was selected in order to be consistent with the binding site selection cutoff chosen by Jackson et al. Text S1.All residues having one or more atoms within 5 \u00c5 of one or more imatinib atoms from the imatinib-bound structures shown in : 30, 38,in vitro competition binding assay by Karaman et al. ncbi RefSeq IDs provided by Karaman et al. The affinity by thresholding the affinity values at 10 true; false). This 10 In order to simplify the problem of correlating structural features with binding affinities, the binding affinity . Given the 27-position binding site , kinases incapable of binding flavopiridol are colored black and kinases lacking affinity annotation are colored white (undefined label). As shown in true labels exist and are considered to be HPCs by ccorps.By incorporating the affinity annotation labels for a particular inhibitor, further observations can be made about the association between the 3-position substructure shown in ccorps.The existence of true-only clusters indicates that the 3-positions shown in incapable of binding flavopiridol can also be observed in s are also informative because they identify particular structural versions of the 3-position substructure in Furthermore, the existence of clusters containing only kinases ccorps for each of the 38 different inhibitors within the affinity dataset. For each of the inhibitors, the affinity labels can be mapped separately onto the same substructure clustering as shown in ccorps computation .Finally, while flavopiridol is discussed in detail here for illustration, the same analysis was computed by s varies greatly depending on the inhibitor considered. While the flavopiridol-annotated substructure clustering contains multiple HPCs for both true and false labels, the correspondingly annotated clustering for other inhibitors, such as VX-745, PI-103 and imatinib, contain only false HPCs. This result demonstrates that the substructures that are informative of inhibitor binding are inherently inhibitor-specific. That is, a subset of binding site positions that are predictive for one inhibitor are not necessarily predictive for another inhibitor.Examination of the affinity-annotated substructure clusterings shown in one 3-residue substructure. However, all 2925 clusterings are computed and all HPCs detected in these clusterings are used to predict binding affinity. The particular three-residue subset shown in s in all clusterings are used to predict affinity, each casting one \u201cvote.\u201dIt is important to note that Numerous instances of cross-family affinity for both type I and II kinase inhibitors have been identified, as was clearly illustrated by the kinome affinity maps created by Karaman et al. agc, camk, tk} would have an affinity purity of Each individual cluster, across all 2925 clusterings and all 38 inhibitors, was evaluated to calculate the purity of both affinity labels and family-level phylogenetic labels. For example, a cluster containing 3 distinct kinase sequences with affinity labels ccorps that have true-majority clusters). Only these true-majority clusters are plotted in the cluster distribution shown in true and false).In order to build intuition for interpreting the cluster distributions, the cluster distribution for VX-680 is examiccorps have low affinity purity as well as low phylogenetic purity. This is to be expected because highly conserved portions of the kinase atp binding site are known to exist. Structural features that consist of conserved residue positions will be common to many kinases from different families due to the fact that these positions are so heavily conserved, which explains the low phylogenetic purity of these clusters. Furthermore, these conserved features are unlikely to be correlated with the affinity for a particular inhibitor because most inhibitors have been engineered to not have broad cross-reactivity across the kinome. Staurosporine is an exception as it is a very non-selective inhibitor due to its interaction with highly conserved binding site features; the cluster distribution corresponding to staurosporine (As can be seen in osporine is markeccorps. This observation is interesting because it illustrates that kinases sharing sequence similarity (relative to kinases outside the family) have multiple common structural features that are not informative of the ability of these kinases to bind VX-680 and are therefore unlikely to be good features to target in design studies. Because ccorps only incorporates clusters with high affinity purity , these conserved structural features that are not indicative of VX-680 binding are ignored by ccorps when predicting affinity for unannotated kinases. This observation can also be made for each of the other inhibitors as shown in Examination of the extremes of the VX-680 cluster distribution reveals further insights into the frequency of structural similar features among kinases with different degrees of sequence similarity. Clusters having a phylogenetic purity of 1.0 but having low affinity purity exist, and for VX-680 276 such clusters were identified by s that are phylogenetically diverse. The HPCs selected by ccorps correspond to the right-most column of points in only structures with known VX-680 affinity. As can be noted in s exist at a range of phylogenetic purity values. ccorps identified a total of 2707 HPCs for VX-680, and 1786 (66%) of these HPCs contain proteins belonging to two or more distinct kinase families. This result demonstrates that ccorps is capable of identifying cross-family structural features that are associated with VX-680 binding. Furthermore, this result is not unique to VX-680. As shown in Another interesting extreme of the VX-680 cluster distribution to examine is the existence of HPCccorps identified relatively fewer true-majority clusters. For example, only 133 clusters with affinity purity ccorps for SB-431542 and all of these happen to be HPCs. However, even among this relatively low number of HPCs, 69 (52%) of the clusters contain kinases from two or more families. As demonstrated by the corresponding distributions for all 38 inhibitors in Examination of the cluster distributions across each of the inhibitors reveals a wide range of observations. While many inhibitors have a cluster distribution similar to that of VX-680, for some inhibitors ccorps to classify an unlabeled kinase is to identify the cluster to which the unlabeled kinase belongs. If the associated cluster is an hpc, the label for the hpc is transferred to the unlabeled kinase. Non-informative clusters containing a mix of labels (non-HPCs) do not contribute to the label prediction process. This \u201cco-clustering\u201d analysis approach is repeated for all of the 2925 substructure clusterings and the final label prediction for an unlabeled kinase is then selected as detailed in The approach used by ccorps to predict the binding of each inhibitor for proteins within the annotated structural dataset was assessed using the cross-fold validation approach described in the following section. For each of the 38 inhibitor annotation label sets, an independent evaluation of ccorps was performed. No information was shared among the evaluations in order to validate the predictive ability of ccorps to identify structural features predictive of the binding ability of each inhibitor independently.The ability of s for identifying substructure positions indicative of functional specialization, cross-fold validation was performed for each family within our dataset. The structures within a protein family were first divided into 70% sequence identity groups (nr-clusters) so that no protein in a test set shares nr-clusters, the number of structures in the test set varies with each fold. In each fold, structures that were part of the test set are marked with label unknown, and are disregarded when calculating the purity of clusters curve for the set of predictions, which evaluates the sensitivity ) at each specificity ) value. The roc curves for the predictor constructed by ccorps are shown in auc) for each roc curve is listed in pr) curve for each inhibitor can be found in pr curve plots the precision ) versus the recall .For each of the 38 inhibitors included in the affinity dataset, ccorps to the work of Jackson et al. actives) in the top 5% of most confident predictions ranked by ccorps, not directly comparable between ccorps and Jackson et al. In order to make a direct comparison of the performance of ccorps achieves high predictive performance across the 38 inhibitors tested. As quantified by rocaucccorps achieved perfect or near-perfect predictive ability for 8 of the 38 inhibitors: AMG-706, CHIR-265, CP-690550, CP-724714, Lapatinib, PTK-787, Roscovitine and SB-431542. Furthermore, ccorps is demonstrated to be very competitive with the method by Jackson et al. ccorps significantly improved on Jackson et al. As shown in Text S3) and used to predict inhibitor binding for the full 38 inhibitor dataset presented here. The prediction performance for the binding site sequence-based approach is shown in ccorps by a significant margin for several inhibitors: Staurosporine, Sunitinib, SU-14813, PKC-412, JNJ-7706621, VX-680. These 6 inhibitors on which ccorps significantly underperforms are 6 of the top 7 inhibitors in terms of number of kinases inhibited. That is, the aforementioned 6 inhibitors are relatively promiscuous and tend to interact with a large number of kinases across several kinase families. Furthermore these same 6 inhibitors also have the 6 highest hpc counts across the entire dataset. This result indicates that ccorps has difficulty predicting inhibitor binding for broad spectrum inhibitors and is discussed further in the following section. In the cases of JNJ-7706621 and VX-680, the performance difference is only significant in terms of the enrichment score. ccorps significantly outperforms the binding site sequence-based approach for several narrow spectrum inhibitors including, but not limited to: Lapatinib, CP-724714, CP-690550, SB-431542, VX-745. Overall, when ccorps performed better than the sequence-based approach the magnitude of the performance difference tended to be larger than when it performed worse. It should also be noted that the standard deviations of the differences between in ccorps and the sequence-based approach and lck structure pdb:2pl0 (black), both with bound imatinib inhibitor (red). The (TIF)Click here for additional data file.Figure S2Substructure clustering for one 3-position subset of the -amylase binding site alignment. In each scatter plot above, the dimensionality-reduced feature vectors computed by ccorps are shown. Each point shown is one feature vector and each feature vector represents one protein substructure. Tightly grouped points correspond to binding site substructures with high structural and chemical similarity. Plots A, B and C above all show the same clustering with different sets of annotation labels applied (labels are denoted by color): (A) cluster ID labeling; (B) 3-tier EC labeling; (C) 4-tier EC labeling. Solid ellipses indicated clusters identified automatically as HPCs. Dashed ellipses indicate subsets of non-hpc clusters that would have been considered HPCs if the clustering step had distinguished each as a separate cluster.(TIF)Click here for additional data file.Dataset S1s that contain kinases from two or more of the kinome families.The complete set of 41,964 true-majority HPC(CSV)Click here for additional data file.Text S1Details on the mapping and alignment of positions among structures within the kinase dataset.(PDF)Click here for additional data file.Text S2ccorps to predict the EC classification for an extensive dataset of 48 families constructed using the Pfam database: a large-scale validation experiment.Using (PDF)Click here for additional data file.Text S3ccorps method.Details of the (PDF)Click here for additional data file.Table S1Accuracy of predicted EC classifications for Pfam protein families in cross-fold validation. Predictions are made at all 4 tiers of the EC hierarchy.(PDF)Click here for additional data file.Table S2ccorps for the kinase inhibitors using a 50% sequence identity clusters for cross validation.Affinity prediction performance of For each of the 38 inhibitors in the affinity dataset of Karaman et al., the prediction performance of ccorps and the sequence-based method is shown below. While the mean auc values and enrichment scores are close, the standard deviations of the differences between the corresponding columns highlight that the two methods have complementary strengths.(PDF)Click here for additional data file."}
+{"text": "The development of pancreatic necrosis is a significant complication of acute pancreatitis and can result in progressive multiple organ failure and death. Recently, in an attempt to reduce the high morbidity and mortality from open necrosectomy, minimal access techniques have been developed.2 pressure (8mmHg) permits visualisation of the retroperito- neum, and standard laparoscopic graspers and a suction device can be placed through additional port sites in the unit to allow removal of necrotic tissue can be used to gain retroperitoneal access and alloc tissue . Post-opThe technique of minimally invasive necrosectomy has been well described previously"}
+{"text": "Sticht et al. [Here, we present results of detailed thermodynamic analysis of the CAI inhibitor binding to HIV-1 capsid protein and mutants thereof carrying mutations in the inhibitor binding pocket. The effect of the peptide on protein dimerization is determined and the minimal peptide sequence responsible for efficient inhibition is identified using microcalorimetry technique.-1) and unfavorable entropic contribution , and no protonation was observed during binding. The effect of several mutations inside the CAI binding pocket on dissociation constants determined by VP-ITC was similar as characterized by fluorescence polarization with fluorescently labeled CAI [The isothermal titration calorimetry was used to examine the binding of CAI inhibitor to the wild-type capsid protein as well as the mutant variants. CAI binds to the capsid protein with favorable enthalpic contribution (-12.5 kcal.molThe CAI binding site is very promising target for new antiretrovirotics. The detailed thermodynamic characterization of CAI binding to HIV-1 capsid protein performed within this study describes the complex formation and can help in further development of new HIV-1 assembly inhibitors."}
+{"text": "Potential photoactivation of certain pharmaceuticals, cosmetic ingredients and natural products by sunlight has to be considered early on in development in order to avoid serious adverse effects . Current clinical trial registration guidelines structure-property relationships ((Q)SPR) offers a valuable strategy to reduce experimental testing if an appropriate precision level of the underlying model is guaranteed.insilico analysis of quantum chemical as well as classical molecular descriptors has led to predictive photosafety classifiers. Model validation was performed with a proprietary external test set of an in vitro photosafety assay .A diverse data set of known phototoxicants and non-phototoxicants including various molecular chemotypes was compiled. After geometry optimization the maximum absorption wavelength of each compound was calculated by semi-empirical methods followed by subsequent computation of molecular descriptors. Our Our photosafety models are currently applied in a prospective manner in the prioritization, classification and labeling of newly designed molecules."}
+{"text": "The neural mechanisms underlying processing of auditory feedback during self-vocalization are poorly understood. One technique used to study the role of auditory feedback involves shifting the pitch of the feedback that a speaker receives, known as pitch-shifted feedback. We utilized a pitch shift self-vocalization and playback paradigm to investigate the underlying neural mechanisms of audio-vocal interaction. High-resolution electrocorticography (ECoG) signals were recorded directly from auditory cortex of 10 human subjects while they vocalized and received brief downward (\u2212100 cents) pitch perturbations in their voice auditory feedback (speaking task). ECoG was also recorded when subjects passively listened to playback of their own pitch-shifted vocalizations. Feedback pitch perturbations elicited average evoked potential (AEP) and event-related band power (ERBP) responses, primarily in the high gamma (70\u2013150 Hz) range, in focal areas of non-primary auditory cortex on superior temporal gyrus (STG). The AEPs and high gamma responses were both modulated by speaking compared with playback in a subset of STG contacts. From these contacts, a majority showed significant enhancement of high gamma power and AEP responses during speaking while the remaining contacts showed attenuated response amplitudes. The speaking-induced enhancement effect suggests that engaging the vocal motor system can modulate auditory cortical processing of self-produced sounds in such a way as to increase neural sensitivity for feedback pitch error detection. It is likely that mechanisms such as efference copies may be involved in this process, and modulation of AEP and high gamma responses imply that such modulatory effects may affect different cortical generators within distinctive functional networks that drive voice production and control. In order to maintain effective vocal communication, the brain needs to finely control the acoustical parameters of self-generated vocal sounds. This important function requires online monitoring and control of the vocal motor commands that drive voice production via sensory feedback mechanisms. A well-accepted theory Electrophysiological recordings in animals In the present study, we investigated the neural mechanisms of audio-vocal integration for voice pitch monitoring by recording directly from auditory cortex of human subjects using high-resolution electrocorticography (ECoG) signals in an auditory feedback pitch perturbation paradigm. We hypothesized that active vocal production (speaking) would lead to the enhancement of the evoked potentials in response to pitch perturbation in cortical auditory areas. In addition, due to previously reported correlation between high gamma oscillations (70\u2013150 Hz) and single-unit and BOLD activity Ten subjects ; all right-handed except for 1 female (R180)) undergoing surgical treatment of medically intractable epilepsy volunteered to participate in this research protocol. Written informed consent was obtained from every subject and all research protocols were approved by the University of Iowa Human Subjects Review Board. Subjects did not incur any additional medical risks by participating in these studies.All subjects completed an extensive pre-surgical assessment including detailed neurological examination, brain imaging , and neuropsychological evaluation that confirmed normal speech and language functions . No anatomic lesions were observed in the cortical regions of interest to this study in any subject. Audiometric testing was conducted and all patients were found to have normal hearing. All subjects underwent preoperative sodium amobarbital (Wada) testing to determine hemispheric language dominance. The left hemisphere was dominant for language in nine subjects and bilateral language representation was noted in one subject (L162). Experiments were conducted in a specially designed and electromagnetically-shielded private patient suite in the University of Iowa General Clinical Research Unit. All subjects participated in a multi-disciplinary epilepsy surgery evaluation and treatment protocol. Each subject was deemed an appropriate candidate for surgical placement of intracranial recording arrays for the purpose of recording and anatomically localizing seizure events in order to then excise the seizure focus.Custom manufactured high-density electrode arrays (see below) were implanted on the pial surface of the exposed brain regions. The surface recording arrays consisted of 96 platinum-iridium disc electrodes embedded within a silicon sheet with 5 mm center-to-center spacing and 3 mm contact diameter . The exact position of the recording grid differed somewhat between subjects as grid placement was based on patient-specific clinical considerations for each subject. In all subjects the coverage provided by the array included significant portions of the STG, including a previously described posterior lateral superior temporal auditory area and CT (0.45\u00d70.45\u00d71.0 mm voxel size) scans. Pre- and post- implantation CT and MRIs were co-registered using a 3-D rigid-fusion algorithm implemented in FMRIB\u2019s Linear Image Registration Tool The experiment consisted of two blocks of speaking and two blocks of listening to playback. During the speaking blocks, subjects were asked to actively produce and sustain a steady vocalization of the vowel sound/a/for approximately 2 seconds at their conversational pitch and loudness. This vocal task was repeated 40 times during each block with subjects taking short breaks (1\u20132 seconds) between successive utterances, and vocalizing at their own pace. During each vocalization trial, subjects were presented with a downward (\u2212100 cents) pitch shift stimulus in their voice auditory feedback. The onset of pitch shift stimuli in each vocalization trial was randomized between 500\u20131000 ms after the vocalization onset and the total duration of stimuli was 200 ms. These parameters have been well-studied in normal subjects using non-invasive techniques Each subjects\u2019 voice was recorded using a condenser microphone , amplified and pitch-shifted through a harmonizer . All parameters of the pitch-shift stimuli were controlled by MIDI software running on a standard laboratory computer. The Max/Msp software generated a TTL pulse to mark the onset of pitch-shift stimuli for time-locked averaging of the recorded brain potentials. The voice, feedback and TTL signals were recorded on a TDT data acquisition system with sampling frequency of 12 kHz. Subjects received their voice auditory feedback through a pair of earphones placed in custom-fit, vented insert ear molds. A 10 dB gain was adjusted between the voice and its auditory feedback to partially mask the effect of air-borne and bone-conducted feedback. At conversational levels, subjects maintained their voice loudness at about 70\u201375 dB and received their feedback (through earphones) at 80\u201385 dB during speaking blocks. The feedback loudness during speaking was measured using a sound level meter implemented in the Max/Msp program and the feedback gain was adjusted to ensure that the feedback loudness during playback was the same as that during speaking blocks. We acknowledge that it is not possible to fully equalize the total sound energy delivered to the ear between speaking and playback blocks as bone conduction cannot be eliminated during speaking.Research recordings were initiated several days post-implantation after subjects had fully recovered from implantation surgery. The electrocorticogram (ECoG) signals were recorded directly from the cortical surface of awake patients during the presentation of pitch-shifts in their voice auditory feedback. ECoG recordings were simultaneously acquired with voice, feedback and TTL signals using the TDT system under both speaking and playback blocks. The ECoG signals were first filtered and then digitized with a sampling frequency of 2034.5 Hz. Digitized data were then resampled offline at 2000 Hz in MATLAB software for further processing.Recordings from all 96 ECoG channels were manually inspected to ensure that they were not contaminated by epileptiform activity or artifact and electrical line noise was removed using a notch filter at 60 Hz. Average evoked-potentials (AEPs) were calculated by first band-pass filtering the ECoG signals and then segmenting them into epochs encompassing \u2212300 ms before to 1000 ms after the onset of each pitch-shift stimulus, as marked by the TTL pulses. The time stamps of stimuli were further verified by extracting the pitch contour of the voice feedback channel and confirming that the pitch-shift onset lined up with the onset of the TTLs. Following segmentation, artifact rejection was carried out by excluding ECoG epochs with amplitudes exceeding +/\u2212500 \u00b5V. Individual epochs were then subjected to baseline correction by removing the mean amplitude of the baseline from \u2212300 to \u2212100 ms prior to the onset of the stimulus from each trial. The choice of this baseline time window allowed us to capture pre-stimulus changes in the AEPs up to 100 ms prior to the onset of pitch shifts. The individual trials were then averaged to calculate the AEP for each recording contact. As seen in the example AEP waveform , responsThe spectral power of the recorded brain activity was similarly calculated on an individual trial basis using the \u201cspectrogram\u201d function in MATLAB with a 256 ms Hamming window and 1 ms time steps for frequencies from 0 to 300 Hz. Event-related band power (ERBP) was extracted separately for each frequency band by calculating the log transform of normalized power (relative to baseline from \u2212300 to \u2212100 ms) across the time-series within event-related epochs ranging from \u2212300 to 1000 ms from stimulus onset. The log transformation function was used to ensure that the data are normally distributed for statistical analysis. The single-trial spectral power time series were then averaged over the total number of trials for speaking and playback conditions separately and results were represented as a time-frequency plot of power for each individual contact. The difference between power responses to pitch-shift stimuli during speaking vs. playback was analyzed for each of these seven frequency bands separately by first dividing the post-stimulus averaged power traces into 5 ms time bins and then statistically comparing the mean of each bin with the mean of baseline (\u2212300 to \u2212100 ms) for the same frequency band using a paired t-test. T-tests were FDR-corrected (q\u200a=\u200a0.01) accounting for the total number of time bins and electrode contacts. For each frequency band, significant power changes (relative to baseline) for speaking and playback were determined if the mean power was significantly different from that of the baseline for at least 6 consecutive time bins (30 ms) within the post-stimulus time window. In those contacts where such significant changes in power were identified in one of the speaking or playback (or both) conditions, a second FDR-corrected paired t-test was performed to assess differences between power responses to speaking vs. playback. Contacts meeting these criteria were considered to be modulated by condition in response to pitch shifts for a specific power band if the difference between the mean of power during speaking and playback was at least significant for six consecutive time bins (30 ms). Such modulation could be seen to be either an increase or a decrease in power as a result of speaking compared with playback condition.Speaking\u2212AEPPlayback)/(|AEPSpeaking|+|AEPPlayback|) in which AEPSpeaking and AEPPlayback were the peak amplitude of the AEP responses during speaking and playback conditions respectively. Similarly, the MI for the high gamma responses was defined as (HGSpeaking\u2212HGPlayback)/(|HGSpeaking|+|HGPlayback|) in which HGSpeaking and HGPlayback were the peak magnitude of the high gamma power responses during speaking and playback. Results of this analysis are separately shown for the AEP and high gamma responses by plotting color-coded circles over the contacts that showed significant AEP or high gamma modulation. In the figures, a positive MI (graded red circles) indicates a significant enhancement of responses during speaking compared with playback and graded colors show the degree of speaking-induced enhancement with MI\u200a=\u200a+1 for maximum enhancement. Accordingly, a negative MI (graded blue circles) indicates a significant speaking-induced attenuation of responses and value \u22121 implies maximum attenuation.The relative amount of change in the AEP and high gamma power responses during speaking compared with playback was quantitatively measured by calculating the modulation index (MI) in all contacts for which the AEP and high gamma responses were significantly different during speaking compared with playback. For the AEPs, the MI was defined as pitch-shift stimuli were calculated by extracting the pitch frequency of the recorded voice signals in Praat We observed a consistent response pattern on STG auditory cortex in response to PSS in our 10 subjects. Like this exemplar subject (R186), the other 9 subjects also demonstrated this response pattern of a focal subregion of posterior STG showing AEP and high gamma responses to PSS. In all 10 cases the responses clustered immediately adjacent to the TTS in recordings from both left and right hemisphere subjects. This anatomic consistency is illustrated by plotting the topographical distribution of the normalized mean of the high gamma power within a 0\u2013500 ms post-stimulus time window in The focal nature of the high gamma responses observed on STG is reflected in the fact that of the total number of 960 recording contacts (96 contacts in 10 subjects), significant high gamma responses (relative to baseline) were elicited in only 180 (19%) and 112 (12%) individual contacts during speaking and playback conditions respectively. A total number of 86 (9%) contacts had significant high gamma responses during both speaking and playback conditions. A FDR-corrected (q\u200a=\u200a0.01) paired t-test showed that the onset latencies of high gamma responses were significantly shorter during speaking compared with playback condition (p<0.001). For the majority of these contacts, the high gamma responses remained significantly above baseline for about 200\u2013300 ms and returned to their baseline level in about 500 ms after the onset of the stimulus.enhancement of high gamma power during speaking compared to playback. Conversely, there were some sites on STG that showed attenuation of high gamma power during speaking compared to playback. A total number of 74 contacts exhibited speaking-induced modulation and the vast majority showed enhancement in high gamma responses as opposed to attenuation . Sites demonstrating these different response types were in close (<15 mm) anatomic proximity. The calculation of the MI showed variable degrees of speaking-induced modulation of high gamma responses to pitch-shifted voice feedback during speaking compared with playback and only 2 (5%) contacts showed AEP attenuation during speaking. The mean value of the MI for contacts showing AEP enhancement and attenuation during speaking was 0.36 (std: 0.09) and \u22120.27 (std: 0.08), respectively.Examination of the AEP responses to PSS revealed similar response patterns as that of the high gamma responses. The overall extent of activation as indicated by statistically significant differences of AEP amplitude compared to baseline was similar to high gamma responses. Namely, across all subjects, 220 (23%) and 114 (12%) contacts significantly responded to pitch-shift stimuli during speaking and playback respectively. Within these contacts, 95 (10%) contacts had significant AEP responses during both speaking and playback conditions. A FDR-corrected (q\u200a=\u200a0.01) paired t-test did not show a significant difference between AEP latencies during speaking compared with playback condition. Statistical comparison between AEP amplitudes during speaking and playback revealed significant differences in 41 (4%) contacts, representing response modulation during speaking and 4. OFor the contacts that showed a significant modulation of both the AEP and high gamma responses , results of the analysis showed the AEP and high gamma MIs were not correlated . This indicates that the degree of speaking-induced enhancement or attenuation in the high gamma power responses was not correlated with the degree of AEP modulation during speaking.Even though AEPs were elicited in response to PSS in all ten subjects, significant differences across conditions were identified in 5 of 6 subjects with right hemisphere and 2 ofIn the total number of 10 subjects, vocal responses could not be measured in one subject (L162) due to the fact that during the recording session, the voice and feedback signals were mixed and recorded together on one channel and therefore voice F0 contour could not be separately extracted for this subject. For subject R210, none of the post-stimulus time bins were significantly different from the mean of the pre-stimulus F0 (baseline). For the 8 remaining subjects, analysis of the vocal responses showed that each of these 8 subjects significantly compensated (q<.05) in response to downward (\u2212100 cents) feedback pitch perturbation by raising their vocal pitch output in the upward direction. All subjects except for R175 returned their voice F0 to the baseline after compensating for downward pitch perturbation in their voice auditory feedback. The measures of the vocal response onset, offset and peak latencies along with the peak magnitude for all subjects are summarized in enhanced during speaking compared with playback condition. In addition, a number of contacts were identified within the STG that although they were clearly responsive to the acoustic tasks, they showed no evidence of speaking-induced modulation of AEP or high gamma responses. Moreover, our data show that even though the AEP and high gamma responses were similarly localized within circumscribed regions of the STG near the TTS, the anatomical pattern of speaking-induced modulation did not fully overlap for the AEP and high gamma responses. Calculation of the modulation index (MI) measure indicated variable degrees of speaking-induced AEP and high gamma modulation within the STG for each individual subject and we did not observe a consistent pattern of spatial distribution for the extent of modulation across a group of 10 subjects. As can be seen in The present study provides evidence for speaking-induced modulation of auditory cortical responses to unexpected perturbations in voice pitch feedback. We found that the pitch-shift stimuli elicit AEP responses within non-primary areas of human auditory cortex that are enhanced during active vocal production of a vowel sound as compared to passive listening to playback of the same self-produced vocalizations. ERBP responses were found to be most prominently elicited within high gamma frequency range (70\u2013150 Hz) and similar to the AEPs, these responses were predominantly These findings suggest that encoding pitch error in voice auditory feedback for vocal motor control is mediated by complex neural processes in distinct cortical networks within the non-primary human auditory cortex. These neural processes are reflected through the activity of neural systems that generate both low and high-frequency oscillations. The low-frequency components of these oscillations emerge as neural activities that are evoked by pitch perturbations and contribute to generation of high-amplitude phase-locked AEP responses as well as increased induced ERBPs at frequencies below 20 Hz. The low frequency AEP components are thought to be generated by more global neural circuits that orchestrate synchronized activity between different regions for performing specific functions In this context, one possible interpretation of the AEP and high gamma responses to pitch-shifted feedback in the present study is that they may reflect mechanisms of stimulus feature representation as well as sensory-motor interactions that facilitate feedback-based monitoring of voice for vocal pitch control. It is possible that the evoked AEPs in the present study may arise from changes in post-synaptic membrane potentials of neuronal assemblies in a focal subregion of the STG that receive synaptic input from lower-order subcortical and cortical auditory pathways as well as other non-auditory cortical areas . Based upon our data, it can be suggested that the cortical networks within those areas that show a significant AEP response without speaking-induced modulation of AEP activity may only involve neural processes that encode the features of the pitch-shift stimulus in the auditory feedback. However, those regions that exhibit a significant modulation of AEP responses during speaking may include neural circuits that receive synaptic input from cortical vocal motor areas and may serve as a neural substrate for comparison between sensory (i.e. auditory) and internally-predicted feedback (e.g. efference copies) for detecting pitch perturbations. Therefore, it can be suggested that access to internal predictions can selectively enhance neural sensitivity to feedback perturbations and consequently lead to the elevation of post-synaptic membrane potentials within specific cortical auditory networks.With relevance to this discussion, the high gamma responses to feedback pitch perturbations can be interpreted as an indication of increased spiking activities as a result of auditory representation and perception of pitch shifts in voice feedback as well as the output of pitch error detection mechanisms that drive the compensatory vocal responses through long-range synaptic projections from the auditory to vocal motor cortex. Our data suggest that different cortical auditory networks subserve these two distinct functional mechanisms as it is shown that the high gamma responses are modulated during speaking compared with playback only in a focal sub-region of the STG in the vicinity of the transverse temporal sulcus. Speaking-induced modulation of high-gamma activity has also been reported in a recent study showing that the enhanced responses are mainly distributed in the posterior portion of the STG along with ventral pre-motor areas and high-gamma enhancement in these areas is correlated with the peak of vocal compensation magnitude during speaking Early evidence for motor-induced modulation of auditory cortical processing is provided by studies showing that induced vocalizations via electrical stimulation of the central gray caused reductions of spontaneous firing rates of neurons within auditory cortex of squirrel monkeys Despite the generally suppressive nature of motor-driven modulation of auditory cortical activity, studies have suggested that efference projections play a key role in increasing neural sensitivity for detecting unexpected perturbations in voice auditory feedback. Single unit recordings in marmosets\u2019 auditory cortex show that the majority of suppressed neurons during vocalization increased their firing rates in response to pitch-shifted feedback The patterns of STG activation observed in the present study are consistent with data from functional imaging. For example, bilateral STG activation was demonstrated in response to normal and pitch-shifted voice auditory feedback during vowel phonations The present findings can be discussed in the context of proposed audio-vocal integration models of speech production and control Even though direct evidence for the presence of a motor-related activity in the sensory (e.g. auditory) system has not previously been established, a large number of studies have provided supporting evidence for the existence of an efference copy mechanisms that can modulate neural processing of sensory feedback in different sensory modalities Lastly, the analysis of the behavioral data showed consistent results in terms of the nature of vocal responses to pitch-shifts in the auditory feedback. A large sub-group of the tested subjects (8 out of 10) exhibited an upward (compensatory) change in their voice pitch in response to downward stimuli. However, we observed a large amount of variability in response properties of the vocal behavior see and it w"}
+{"text": "The pharmaceutical industry is approaching unsustainable research costs to develop new drug therapies for mental disease because of the high failure rate in clinical trials. These failures are due to limitations of pre-clinical studies in animal models that fail to predict the efficacy of new drugs in human subjects. The gap between pre-clinical trials and clinical trials is particularly difficult in complex mental diseases such as Alzheimer\u2019s disease because of the complex dynamics of the brain and the multiple chemical pathways that drugs can affect.However, many biological mechanisms associated with Alzheimer\u2019s disease are now understood, and computational power and methods have reached the point for practical modeling of pathologies of Alzheimer\u2019s disease. Numerical models can combine the information from animal studies of brain circuitry with data from human clinical trials of drug actions. Furthermore, complex interactions of multiple receptor targets can be predicted by a biophysical model of brain function.We introduce numerical models of neuronal microcircuitry that are associated with symptoms of Alzheimer\u2019s disease. The emphasis is on the dynamics of these neural systems and how their dynamics are modified by therapeutic drugs. Unlike the current state-of-the-art methods of estimating therapeutic efficacy, the computational platform yields a significant increase in the predictive correlation with data from clinical trials.To develop a biophysical model for functional cognitive performance, we implemented a conductance-based computer model of multicompartment neuronal cell types in a cortical brain circuit for working memory using preclinical data on receptor pharmacology of catecholamine and cholinergic neurotransmitters. The pathology of Alzheimer\u2019s disease was subsequently implemented as a loss of synapses and neurons and decreased cholinergic tone and the model as further calibrated the model with clinical ADAS-Cog results on acetylcholinesterase inhibitors and 5-HT6 antagonists. As an independent validation, we reproduce clinical data showing that ApoE genotype, implemented as a specific synapse loss and a decline in cholinergic tone, reduces the network performance much more in mild cognitive impairment conditions than at later stages of Alzheimer\u2019s disease pathology.As a further example, we explore the reason for the differential effect of memantine, an NMDA subunit selective weak inhibitor in early and late Alzheimer\u2019s disease pathology. The preferential inhibition of the NMDA-NR2C/NR2D subunits that are located on inhibitory interneurons compensates for the greater excitatory decline observed with stronger pathology.This quantitative systems pharmacology mechanistic disease model uses the full human pharmacology for clinical candidates in a humanized calibrated model of Alzheimer\u2019s disease. Complementary to traditional animal models, the model has potential to assess the potential off-target effects of disease-modifying drugs, the consequences of pharmacologically active unique human metabolites, the effect of comedications and the impact of a small number of well-described genotypes."}
+{"text": "When pain is assessed in research, it is most commonly assessed using patient-reported outcome measures (PROMS). These measures can provide information about pain severity, distress and qualities, but they are unable to provide information about the underlying mechanisms contributing to pain perception. Quantitative Sensory Testing (QST) comprises non-invasive tests which can identify abnormalities in pain processing on a localised and widespread level. The aim of this study was to explore the relationship between the measurement of pain thresholds by two different QST methods and the measurement of pain severity by a validated PROM.. A digital algometer (Somedic) with a 1cm probe was used to assess pressure pain thresholds (in kPa) three times at each site. A MSA Thermotest (Somedic) was used to measure hot pain thresholds (in Celsius) four times at each site. Pain thresholds were tested at the painful knee and the pain-free forearm. Self-reported pain severity was assessed using the WOMAC questionnaire. Spearman-Rank Correlation Coefficients (CC) were calculated to determine the strength of correlation between pain thresholds and pain severity.Patients on the waiting list for a total knee replacement because of osteoarthritis were approached about this study, and 107 patients attended a QST sessionPain severity in the knee significantly correlated with pressure pain thresholds at the knee and the forearm . No significant correlation was found between pain severity in the knee and heat pain thresholds at the knee or the forearm .This study found a small but significant positive correlation between self-reported knee pain severity and pressure pain thresholds, but not heat pain thresholds. This suggests that as pain worsens, patients become more sensitive to pressure pain at the osteoarthritic knee and the pain-free forearm. Increased pain sensitivity at a pain-free distant body site, such as the forearm, suggests involvement of the central nervous system and widespread pain sensitisation. The addition of Algometry as an outcome measure in clinical trials and pain studies could improve understanding of the mechanisms contributing to self-reported pain severity, by identifying the presence and extent of pain sensitisation. We are currently using QST in a large randomised controlled trial of pain control in arthroplasty (the APEX study), to explore the relationship between pain sensitisation and pain severity in osteoarthritis patients, and the influence of pain sensitisation on outcomes after joint replacement."}
+{"text": "We have read with great interest the case presentation entitled 'Successful Right Ventricular Tachycardia Ablation in a Patient with Left Ventricular Non-compaction Cardiomyopathy' by Honarbakhsh et al. in the recent issue of the journal . They suIn conclusion, differential diagnosis of ARVD/C should be kept in mind in patients with multiple arrhythmia foci from different parts of the right ventricular myocardium."}
+{"text": "The interface includes energy gradients and is parallelized. For large molecules such as ubiquitin a reasonable speedup (up to a factor of six) is observed for up to 16 cores. The SCF convergence is greatly improved by PCM for proteins compared to the gas phase.An interface between semi-empirical methods and the polarized continuum model (PCM) of solvation successfully implemented into GAMESS following the approach by Chudinov Continuum solvation models such as the polarized continuum model (PCM) This paper is organized as follows. 1) We review the relevant expressions for the semi-empirical/PCM interface. 2) We present results of solvation free energies and compare them to previous results. 3) We test the numerical stability for geometry optimizations and vibrational analyses. 4) We present timings and parallelization speed-ups for protein-sized systems. 5) We summarize our findings and provide possible ideas for future improvements.In PCM, a molecule (the solute) is placed inside a solvent-cavity usually described by introducing interlocked spheres placed on the atoms of the molecule. The solvent is described as a polarizable continuum with dielectric constant For C-PCM the ASCs et al.Here, The electrostatic interaction of the ASCs Optimization of the molecular geometry in the PCM field requires the derivative of The semi-empirical/PCM interface was implemented in a locally modified version of GAMESS et al. for twenty smaller ammonium and oxonium type molecules used in that study. The structures were generated from their SMILES string (see We compared our implementation to that of Chudinov ring see using OpGeometry optimizations used a convergence threshold of The Mean Absolute Deviations (MADs) of vibrational frequencies between solvated (s) and gas-phase (g) calculations were calculated byWe also carried out single point energies and gradients calculations for Chignolin (PDB: 1UAO), Trypthophan-cage (PDB: 1L2Y), Crambine (PDB: 1CRN), Trypsin Inhibitor (PDB: 5PTI) and Ubiquitin (PDB: 1UBI). The proteins were all protonated with PDB2PQR et al. et al. uses the original PCM implementation of Miertus, Scrocco and Tomasi et al. uses a more elaborate scheme to reach convergence of the solvation free energies by subdividing the surfaces incrementally.The electrostatic solvation free energies are presented in To test the numerical accuracy of the PCM gradients we optimized the molecules listed in In four cases the vibrational analyses yields imaginary frequencies between 26 and 200 cmIn The cost of optimizing the wavefunction in PCM is between two (Crambine) and three (Chignolin and Tryptophan-cage) times more expensive than without. For Chignolin, which is the smallest protein in our test set, it took 21 SCF iterations to converge in PCM while only 13 for PCM/DIIS and 14 for PCM/SOSCF. The other proteins converged within 17 iterations without convergence acceleration and within 14 iterations with. For absolute timings regarding larger proteins, Crambine, Trypsin Inhibitor and Ubiquitin finished in 1293, 3455 and 6732 seconds with PCM without convergence accelleration, but are slower with PCM and DIIS enabled. Using SOSCF did not result in an appreciable decrease in CPU time. The increase in CPU time when using DIIS is due to the extra matrix operations associated with this method, which represent the computational bottleneck for sem-empirical methods.Evaluating the ASC potential derivative analyticThe relative speedup from running in parallel in the gas phase is shown on et al. An interface between semi-empirical methods and the polarized continuum model (PCM) of solvation successfully implemented into GAMESS following the approach by Chudinov For very small systems we found some numerical instability problems in the gradient which caused geometry convergence failure, but geometry optimization appears robust for larger molecules. The use of PCM occasionally introduces imaginary frequencies in the Hessian analysis, but this was also found for RHF/STO-3G PCM calculations and even in a few semi-empirical gas phase calculations so these problems do not appear to be specific to the to the current implementation. We therefore consider the current implementation a working code for all practical purposes, but welcome feedback from readers who encounter numerical stability problems for large molecules.For semiemprical methods the most time CPU-intensive part of the calculation remains the solution of the SCF equations. This part of the code was already parallelized in GAMESS and we show, for the first time, that this implementation applies to semi-empirical methods and the new PCM interface. For large molecules such as Ubiquitin a reasonable speedup (up to a factor of six) is observed for up to 16 cores.It will be interesting to see how much the numerical stability and computational efficiency will improve once the interface is combined with the recently developed FIXSOL/FIXPVA2 method developed by Li and coworkers Text S1Analytical derivative of the interaction potential.(PDF)Click here for additional data file.Figure S1Speedup by using multiple cores single gas phase gradient evaluation.(TIFF)Click here for additional data file."}
+{"text": "It will outline results obtained from mouse and rat models for various Nrg1 isoforms/isoform types , which have been exposed to different forms of stress and housing conditions . These studies suggest Nrg1 as a prime candidate for GxE interactions in schizophrenia rodent models and that the use of rodent models will enable a better understanding of GxE interactions and the underlying mechanisms.Schizophrenia is a multi-factorial disease characterized by a high heritability and environmental risk factors. In recent years, an increasing number of researchers worldwide have started investigating the \u201ctwo-hit hypothesis\u201d of schizophrenia predicting that genetic and environmental risk factors (GxE) interactively cause the development of the disorder. This work is starting to produce valuable new animal models and reveal novel insights into the pathophysiology of schizophrenia. This mini review will focus on recent advancements in the field made by challenging mutant and transgenic rodent models for the schizophrenia candidate gene The two-hit hypothesis of schizophrenia states that a combination of genetic and environmental risk factors causes the development of schizophrenia is a genetic target for schizophrenia research and experimental animal research .Animal models can incorporate genetic and environmental risk factors at different stages of development, thereby more accurately mimicking the aetiology of schizophrenia, and help elucidate interactions between those factors and underlying mechanism has a significant impact on animal models of neurodegenerative diseases might be responsible for the earlier onset of hyperactivity.Nrg1 mutant mice might also support the activation of dopaminergic pathways .Other genetic mouse models of schizophrenia have been reported to benefit from more complex enriched housing environments . All mice displayed robust stress-induced increases in serum corticosterone, although the response was more pronounced in young Nrg1 mutants compared to WT mice. The study suggested that there is no pronounced effect of mutant transmembrane domain Nrg1 on the endocrine and behavioral effects of acute restraint stress. Nevertheless, Nrg1 modified corticosterone release in young Nrg1 mutants and the anxiety-like response of hyper-locomotive older Nrg1 mice, confirming that the gene plays a role in how an organism responds to environmental manipulations. The phenomenon of a disconnected behavioral and endocrine stress response of older Nrg1 mice is consistent with other mouse models receptors in the hippocampus and pituitary glands of Nrg1 mutant rats under baseline conditions could then result in a more pronounced negative feedback loop thereby increasing the inhibition of HPA axis activity following acute restraint stress. Interestingly, shifts in the balance of glucocorticoid and mineralocorticoid receptor levels in humans can create a vulnerability to psychiatric disease, especially among genetically predisposed individuals species differences in control but not mutant mice. Social defeat also altered the lipopolysaccharide and concanavalin A-stimulated cytokine response of the spleen in a genotype-specific manner (see study for details). In the brain, stress decreased interleukin-beta mRNA levels in the prefrontal cortex of mutant mice only, whereas striatal interleukin-beta was down-regulated in controls and up-regulated in Nrg1 mice. Finally, hippocampal BDNF mRNA levels were elevated in control mice and reduced in mutant mice whereas tumor necrosis factor-alpha was up-regulated in Nrg1 mice only. Reduced striatal BDNF levels might have been involved in the disrupting effects of social defeat stress on the spatial memory of Nrg1 mutant mice was the only candidate for a possible interaction between a genetic predisposition for schizophrenia and heavy cannabis abuse [ so that a high level of transparency and standardization of test conditions across research sites will be crucial.Recent research utilizing genetic rodent models has revealed an interactive relationship between Nrg1xE and their consequences for schizophrenia have to be evaluated further, an involvement of the GABAergic, glutamatergic and BDNF systems seems likely. Importantly, environmental (risk) factors not always induced adverse effects in Nrg1 mutants, which should be taken into account when looking into GxE interactions [for genotype-specific effects of environmental factors see also (Tucci et al., Nrg1xE summarized in Table Although the exact nature of The author declares that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Cellular metabolism continuously processes an enormous range of external compounds into endogenous metabolites and is as such a key element in human physiology. The multifaceted physiological role of the metabolic network fulfilling the catalytic conversions can only be fully understood from a whole-body perspective where the causal interplay of the metabolic states of individual cells, the surrounding tissue and the whole organism are simultaneously considered. We here present an approach relying on dynamic flux balance analysis that allows the integration of metabolic networks at the cellular scale into standardized physiologically-based pharmacokinetic models at the whole-body level. To evaluate our approach we integrated a genome-scale network reconstruction of a human hepatocyte into the liver tissue of a physiologically-based pharmacokinetic model of a human adult. The resulting multiscale model was used to investigate hyperuricemia therapy, ammonia detoxification and paracetamol-induced toxication at a systems level. The specific models simultaneously integrate multiple layers of biological organization and offer mechanistic insights into pathology and medication. The approach presented may in future support a mechanistic understanding in diagnostics and drug development. Cellular metabolism is a key element in human physiology. Ideally the metabolic network needs to be considered within the context of the surrounding tissue and organism since the various levels of biological organization are mutually influencing each other. To mechanistically describe the interplay between intracellular space and extracellular environment, we here integrate the genome-scale metabolic network model HepatoNet1 at the cellular scale into physiologically-based pharmacokinetic models at the whole-body level. The resulting multiscale model allows the quantitative description of metabolic behavior in the context of time-resolved metabolite concentration profiles in the body and the surrounding liver tissue. The model has been applied to three case studies covering fundamental aspects of medicine and pharmacology: drug administration, biomarker identification and drug-induced toxication. Most notably, our multiscale approach fosters an improved quantitative understanding of drug action and the impact of metabolic disorders at an organism level, based on a genome-scale representation of cellular metabolism. Computational models such as the one presented include various aspects of human physiology and may therefore significantly support rational approaches in medical diagnostics and pharmaceutical drug development in the future. Human metabolism is an integral component of whole-body physiology and its dysfunction plays a key role in many systemic diseases. Frequent symptoms of metabolic diseases are changes in exometabolism In recent years, modeling approaches have been developed describing biological processes at different levels of physiological organization based on multiple, divergent mathematical formalisms For analyses at the cellular level, metabolic network reconstructions are an important tool of bottom-up systems biology. Cellular metabolism gathers a multitude of upstream regulatory events onto the various layers of cellular organization such as the transcriptome and metabolome representing an important angle point in the physiology of an organism. Metabolic networks are typically described by stoichiometric matrices and intracellular flux distributions are inherent variables in such models. First stoichiometric models on human metabolism at genome-scale encompassed generic collections of metabolic biochemistry in human cells in vitro experiments with more or less well-defined media conditions, they do not suffice for considerations of in vivo metabolism, where the cell is embedded in the ever-changing environment of the surrounding tissue and organism. Therefore, human metabolism can only be fully understood by an integrative analysis which simultaneously considers the whole-body context. This allows in particular the quantification of cellular boundary conditions and the interference with intracellular states and processes. Several approaches for combining models covering different levels of biological organization have been described before While metabolic network models are applicable to the investigation of We here apply dFBA to describe human metabolic networks within the context of whole-body PBPK models . The relative enzyme activity (relE(t)) is the time-resolved ratio of the inhibited reaction rate v(t) and the uninfluenced reaction rate 0v (I\u200a=\u200a0 \u00b5M). Next, relE(t) is used to quantify the effect of enzyme inhibition in the metabolic network. The additional constraint for the FBA step imposed on the specific flux in the metabolic network is defined as:E(t)v corresponds to the flux through the affected enzyme at each time step which is defined as the product of the unperturbed flux E(0)v which is calculated by FBA and the relative enzyme activity relE(t). Therefore, the set of constraints changes over time such that the extracellular exchange rates identified with FBA also evolve dynamically. This allows on the one hand quantifying the effect of compound-induced extracellular perturbations on metabolic states. On the other hand, time-resolved exchange fluxes determined with FBA may interfere with the mass balance of the PBPK model such that direct coupling needs to be considered (see section below).Indirect coupling is used for the simulation of regulatory modifications such as drug-induced inhibition of metabolic enzymes , 2. In tMetabolic clearance and formation processes are simulated by direct coupling since they directly interfere with the mass balance of the PBPK model. Direct coupling therefore describes the influence of active processes at the cellular level on the distribution of compounds at the whole-body scale. To this end, a feedback update loop is considered which consists of the following steps : (1) TheWhile the exchange rates in the PBPK model and metabolic network are identical for the metabolic reference state, these rates will differ if internal and external network perturbations are imposed. Without any impairment of enzyme reactions in the metabolic network, the clearance or production rates calculated by FBA will reach the upper bound (step 2). In this case, the rates of the coupled model are identical to those of the PBPK model alone. In contrast, the rates calculated by FBA will decrease if for instance enzyme activities are impaired due to restricted functionality or structural network errors . ConsequAs a first example we analyzed drug action of allopurinol in the treatment of hyperuricemia with a multiscale PK/PD model. Purine metabolism provides a large number of drug targets In clinical practice, high plasma levels of uric acid (above 470 \u00b5M) are referred to as hyperuricemia which may result from inborn errors of purine metabolism and even more often from impaired renal excretion of uric acid, which is considered in the following. Hyperuricemia can lead to diseases like gout where uric acid is deposited into tissues, especially in the joints To estimate the inhibitory concentration of allopurinol and its active metabolite oxypurinol, a coupled PBPK model was developed see . ExperimIn the next step, a PBPK model for uric acid was created, which allowed describing changes in uric acid concentration as a mechanistic consequence of allopurinol inhibition in hepatic purine metabolism resulting in a reduced ammonia detoxification capacity. Pathogenesis of UCD was exemplarily assumed as a linear decrease of the enzyme activity of ornithine transcarbamylase (OTC), leading to complete impairment of the enzyme [56]. SiWith the coupled model and the above described constraints, simulation was performed within a time range of 21 days. After 24 h, UCD starts developing which led to a decreasing urea production rate after 30 h. At the same time, the glutamine and alanine fluxes began to rise and the rate of ammonia uptake began to decrease. In the new steady state (after 6.5 days), ammonia uptake rate was 0.072 \u00b5mol/L/min and glutAbove model is a representation for an average patient. Since the model, however, structurally includes many potential causes for inter-individual variability at a large level of mechanistic detail, it may be used to analyze pathogenesis on a populations scale as well. Such individual differences may include physiology Our final example deals with drug-induced toxication by addressing downstream effects of drug dosing on metabolic functionality at the cellular level. We here chose overdosing of paracetamol, one of the most common reasons for liver failure To quantify the metabolic impact of perturbations in the enzyme activities on whole liver functionality, indirect coupling of a paracetamol PBPK model and HepatoNet1 was used to determine the effect of a paracetamol overdose on a large amount of functional liver objectives. HepatoNet1 was previously validated with 123 physiological functions which represent essential tasks for liver metabolism We started our analyses with the development of PBPK models of the parent drug paracetamol the three metabolites and NAPQI , respectively as well as time of trough concentrations at 24 h after drug administration (t24h) . Out of We next analyzed, whether the flux underlying the different optimal values changed during the application of different doses of paracetamol. This could explain why more objective functions are affected after the toxic dose of paracetamol, which is to be expected by network robustness We here integrate genome-scale metabolic networks, comprising thousands of biochemical reactions, into PBPK models to analyze metabolism at the level of the human organism. The approach is based on dFBA Our approach combines well-established computational modeling approaches from different biological scales. At the organism scale, standardized PBPK models which are routinely used in pharmaceutical drug development provide a generalized description of the distribution of substances within the human body. At the cellular scale, metabolic network reconstructions represent core building blocks of bottom-up systems biology which describe fundamental cellular biochemistry. Our coupling approach therefore provides a generic framework for a wide range of possible applications. Notably, all these applications can be addressed without the need for further model curation or modification.To illustrate our approach, we exemplarily integrate HepatoNet1 In a first application example we investigate a multiscale PK/PD approach, where indirect coupling is used to mechanistically describe the pharmacological effect of the purine analogue allopurinol on the biosynthesis of uric acid. The PK of the exogenous drug as well as its resulting downstream PD effect on the formation of endogenous metabolites are quantified allowing a comprehensive evaluation of drug safety and drug efficiency. For multiple oral administrations of 200 mg allopurinol we predict a 69.3% decrease of uric acid concentration in the venous plasma which is in quantitative agreement with clinical data The identification of quantitative biomarkers for metabolic disorders is the second application example. As a complement to classical qualitative biomarker identification Drug-induced toxication following paracetamol overdose is the third application example. We demonstrate how paracetamol impairs metabolic capacity by affecting a broad range of different metabolic functions. The specific metabolic impact is illustrated for a therapeutic (1 g) and a toxic (15 g) dose of paracetamol. The results show a larger metabolic impact on single hepatic functions following the toxic dose of paracetamol. Also, more metabolic functions are affected after the higher dose (24 vs. 20 functions). Since a considerable number of fluxes is affected, we conclude that paracetamol toxication induces flux rerouting which is used by the hepatocyte to compensate for network perturbations thereby conferring cellular robustness. Notably, this effect which has been shown before for microorganisms Describing the impact of a compound on the body and the cell is the fundamental question in pharmacodynamics. Classical approaches describe this interference with rather phenomenological models Taken together, the presented approach integrating organ-specific metabolic networks into PBPK models provides many opportunities for scientific research, clinical applications and drug development as outlined by the prototypical examples discussed above. It is only by such multiscale models that a mechanistic understanding of organ dysfunction and disease etiology at a system level will be achieved. This will be greatly supported by the reconstruction of further genome-scale metabolic networks which will become available in the future At the whole-body level, PBPK modeling quantitatively describes all ADME-related processes of endogenous and exogenous compounds within mammalian organisms The PBPK models considered in this study were all built with the software tools PK-Sim and MoBi for which academic licenses are available free of charge usually less literature data is available and (2) these parameters often have significant sensitivity although the overall dynamic behavior of the PBPK models is robust and v represents the intracellular flux distribution. The overall solution space is confined by a set of additional constraints (A\u00b7v\u2264b) which represent for example substrate availability.Stoichiometric models provide a mathematically formal way to capture the basic biochemistry of cellular metabolism into an analytical framework. Assuming steady state of the system, all intracellular metabolites can be balanced in linear systems of equations, which are usually underdetermined since they encompass much more unknown reaction rates than linear independent mass balance equations. Flux distributions can be identified with stoichiometric models by using FBA To illustrate our approach, we here exemplarily use HepatoNet1, a tissue-specific network reconstruction of hepatic metabolism Text S1Important additional texts, tables, equations and figures.(PDF)Click here for additional data file."}
+{"text": "Our proposal to investigate the whole phase relation dynamics is motivated by the phenomenon of relative coordination observed in the movements of fish fins described by von Holst [Both oscillatory phenomena and the dynamics of integration and segregation in the brain are fields of intense study in current computational neuroscience. It is often suggested that moments of phase-locking (as moments of integration) between functionally distinct neuronal groups represent meaningful functional brain states; and moments of phase-scattering (as moments of segregation) represent transitions between such states. The main evidences for such claim come from investigations on the well-known visual binding problem . Despiteon Holst and latton Holst . In dynaon Holst and their behavioral correlates. Despite the strong simplifying assumptions involved, the theoretical results shown here suggest a \u201cdifferent/new\u201d approach to analyze empirical data in neuroscience where regimes of phase relation might be as relevant as phase locking events for how brain-environment dynamics give rise to behaviour. We conclude with some expansions of phase density and phase coherence measurements for bigger oscillatory networks in sensorimotor systems."}
+{"text": "Graves-Basedow disease (GBd) since late fifties has been considered to be autoimmune thyroid disorder where the presence of thyroid stimulating antibodies (TSAb) may lead to hyperthyroidism, thyroid orbitopathy and thyroid dermopathy. During last years it was generally accepted that development of Graves-Basedow disease is dependent on the presence of two or three groups of factors - genetic and environmental or genetic, environmental and endogenous. Familial clustering of GBd, familial presence of thyroid autoantibodies and high concordance in the incidence and clinical course of the disease in monozygotic siblings all suggested that several genes decide about susceptibility to this disorder and likely its phenotypes. On the other hand environmental agents and endogenous factors served as triggers important to the development of the disease, its clinical course and response to given therapy. It was believed that finally, development of GBd (and other autoimmune disorders) is a consequence of lack of balance between the formation of self reactive T cells and central and peripheral tolerance. As a result thyroid was infiltrated by self reactive T cells that in turn affected B cells and led to the production of thyroid stimulating antibodies.vice versa. Some findings suggest that in prone classically hyperthyroid patient the administration of methimazole can provoke switch off of TSAb generation and start of TBAb followed by block of thyroid hormones biosynthesis and quite rapid morphological damage of thyroid cells. It is a pity that in other hypothyroid patient administration of thyroxine can switch on the generation of TSAb and switch off the production of TBAb. Second, it is more and more obvious that autoimmune thyroid disorders and differentiated thyroid cancer (DTC) especially of papillary type (PTC) share some genetic factors (RET/PTC1) and environmental and epidemiological features. In addition presence of GBd disease in patients with DTC leads to increased mortality of cancer patients. Third, microarray DNA analysis of thyroids from GBd patients with severe course of the disease led to the identification of seven additional genes either overexpressed or underexpressed that may be responsible for high level of TSH-R Abs, large goiter size and high free T3/free T4 ratio, features characteristic for patients that poorly respond to anti-thyroid drug therapy. In addition to these clinical observations, the pathogenesis of GBd during the last two-three years was strongly affected by studies suggesting that non sufficient peripheral tolerance was a key to autoimmunity in general, including mechanisms leading to development of Graves-Basedow disease. In a way we returned to Volpe hypothesis developed in the 70-ies of the previous century that pointed out the role of T-suppressor cells. At present the name suppressor cells was postponed and we know that control of self reactive T cells is a function of T regulatory cells (Tregs). It has been proven that block of activation of Tregs both in experimental animals and humans led to the development of generalized fatal autoimmunity. The mechanism of appropriate Tregs activation concerning first signal (MHC-TCR) and especially second costimulatory signals (CD28-B7-1(CD80) or CD28-B7-2 (CD86)) will be presented and their role for the thyroid autoimmunity discussed. The progress in our knowledge concerning autoimmunity as a whole and GBd as a thyroid autoimmune disorder clearly shows that pathogenesis of this disorder is more complex than previously expected and that personalized approach to given patient based on clinical and molecular findings is more important than the hope that single finding (light in corridor) brings a positive solution for all patients with Graves-Basedow disease.Most recently etiopathogenesis of GBd became further complicated by both clinical and molecular findings. First, GBd can be clinically presented as a hypothyroidism depending on the switch of TSAb production to thyroid blocking antibody (TBAb) production as well as"}
+{"text": "Systemic treatment of patients with early-stage cancers attempts to eradicate occult metastatic disease to prevent recurrence and increased morbidity. However, prediction of recurrence from an analysis of the primary tumor is limited because disseminated cancer cells only represent a small subset of the primary lesion. Here we analyze the expression of circulating microRNAs (miRs) in serum obtained pre-surgically from patients with early stage colorectal cancers. Groups of five patients with and without disease recurrence were used to identify an informative panel of circulating miRs using quantitative PCR of genome-wide miR expression as well as a set of published candidate miRs. A panel of six informative miRs was derived from this analysis and evaluated in a separate validation set of thirty patients. Hierarchical clustering of the expression levels of these six circulating miRs and Kaplan-Meier analysis showed that the risk of disease recurrence of early stage colon cancer can be predicted by this panel of miRs that are measurable in the circulation at the time of diagnosis . Colorectal cancer (CRC) is the third leading cause of cancer mortality that affects men and women equally. Worldwide it accounts for approximately one million new cancers and one-half million deaths representing 10 percent of cancer deaths microRNAs (miRNAs or miRs) are small, non-coding RNAs that play a significant role in controlling the activities of cellular pathways both in physiology and pathology see e.g. . The disBeyond these analyses of normal and diseased tissues, more recent reports have shown that miR species can be detected in the circulation 6-fold for miRs in serum samples To measure miRs in the circulation, we established quantitative RT-PCR From the above pilot study we selected two patient samples from the recurrence-free (NRec) and recurrence (Rec) group for an unbiased genome-wide miR analysis. We picked patients from the above pilot study that had shown the most differential expression of candidate miRs. We reasoned that a comparison within such a sample pair might offer a greater chance of picking up recurrence-specific miRs. We analyzed this pair of patient samples using SYBR Green qPCR based genome-wide miR expression arrays for 760 miRs set up in our laboratory, using commercially available reagents . The respective result for the top 70 miRs is shown in To evaluate whether the circulating miRs identified in the above pilot study can predict disease recurrence in low-risk patients, we used a separate, independent group of thirty patients with early stage colon cancer with known outcomes. Fifteen of these patients had disease recurrence within an average of 25 months whereas the other fifteen remained recurrence-free. The clinical characteristics of patients in this validation set at the time of their initial diagnosis is provided in Expression of the six miRs derived identified in the pilot study was measured by qRT-PCR and the resulting data are shown as raw Ct values as well as a concentration range in A blinded hierarchical clustering analysis The current study evaluates the possible use of circulating microRNAs (miRs) to identify colon cancer patients with a high risk of disease recurrence inspite of a diagnosis of early stage, low-risk disease indicated by established tumor staging. This could help identify those individuals that would benefit from closer surveillance and/or additional systemic therapy and would avoid over treatment of patients that will not benefit due to their low risk and miR-596 (upregulated). miR-103 was significantly down-regulated (p\u200a=\u200a0.038) in blood samples from patients with disease recurrence compared to recurrence-free patients . In inteThe risk of recurrence of early stage colon cancer may be predicted by monitoring miRs in patient blood samples collected at the time of the initial diagnosis.The collection and use of biospecimen was approved by the Institutional Review Board (IRB) of Georgetown University under Protocol #2007-345 most recently on 10/24/2012. All patients sign a consent form permitting the use of donated tissue and body fluid samples. The consent forms and their content was reviewed and approved by the IRB. Serum samples (<1 ml) were processed after removal of personal identifiers. miR isolation was described previously PCA and hierarchical clustering were performed based on the mean centered and scaled miR expression levels. The clustering methods used XLSTAT (Addinsoft Inc.) within Excel (Microsoft Inc.) on OSX 10.7.5. These methods allow for the calculation of significance between the hierarchical clusters and derive p-values using Fisher's exact test. Prism 5.0 (Graphpad) software was used for other tests and display of the data."}
+{"text": "The hippocampus is a brain structure that is involved in the formation and recall of episodic memories, including space-related behavior. Place-specific hippocampal activity patterns change dramatically if the animal is exposed to the same maze in different lab environments . Global During hippocampal remapping the spatial activity pattern of grid cells undergoes locally coherent rotations and translations , but it We employed a model in which a superposition of grid cell outputs give rise to place cells for a single environment . We inveThe grid layer thus provides a low dimensional parameterization of the different place maps without any synaptic plasticity in the projections, thereby indexing spatial memories. This result suggests that different independent modules are present in the entorhinal cortex and that their grid fields co-realign during global remapping."}
+{"text": "This paper examines the effects of parallelizing an unsupervised feature acquisition algorithm using General-Purpose computing on Graphics Processing Units (GPGPU). Previous work in feature learning has established the effectiveness of hierarchical learning methods that refine large quantities of elementary features into small numbers of intermediate-level features. Some of the most effective of these methods alternate between template matching layers that combine features and sub-sampling layers that perform feature scale and/or position invariance. This approach is inspired by the mammalian ventral visual pathway. One such approach that produces highly informative features is a spiking convolutional network trained with STDP-based learning . When us"}
+{"text": "Thyroid gland, previously supposed not to have any impact on spermatogenesis and male fertility, are now being recognized as having important role in male reproductive functions. Most of the studies on the effect of thyroid hormones on male fertility were conducted between the years 1970 and 2000 . The undIn rats rendered thyrotoxic by T4 resulted in decreased serum gonadotropin levels , decreasThe two most common types of thyroid diseases are hypothyroidism and hyperthyroidism. Studies assessing the role of hypo- and hyperthyroidism in male infertility have also been conducted in human subjects. Hypothyroidism may result in a decrease in the sex hormone binding globulin (SHBG) levels and a decrease in total serum testosterone levels, as well as a decrease in the LH and the follicle stimulating hormone (FSH) levels . In case"}
+{"text": "Vaccination is one of the most valuable weapons against infectious diseases and has led to a significant reduction in mortality and morbidity. However, for most viral hemorrhagic fevers caused by arenaviruses, no prophylactic vaccine is available. This is particularly problematic as these diseases are notoriously difficult to diagnose and treat. Lassa fever is globally the most important of the fevers caused by arenaviruses, potentially affecting millions of people living in endemic areas, particularly in Nigeria. Annually, an estimated 300,000 humans are infected and several thousands succumb to the disease. The successful development of the vaccine \u201cCandid#1\u201d against Junin virus, the causative agent of Argentine hemorrhagic fever, proved that an effective arenavirus vaccine can be developed. Although several promising studies toward the development of a Lassa fever vaccine have been published, no vaccine candidate has been tested in human volunteers or patients. This review summarizes the immunology and other aspects of existing experimental arenavirus vaccine studies, discusses the reasons for the lack of a vaccine, and proposes a plan for overcoming the final hurdles toward clinical trials. The literature search was based on PubMed, Embase, and Web of Science. The initial search term used was \u201cLassa OR Junin OR Machupo OR Guanarito OR Sabia AND (vaccine OR vaccination).\u201dTitles and abstracts were screened to exclude irrelevant publications.Arenaviridae contains four important species that cause severe hemorrhagic zoonoses in humans. Together, they have an important impact on public health in endemic regions , which encode two genes each Natural reservoirs include different species of rodents, depending on the arenavirus Little is known about the pathogenesis of the diseases caused by arenaviruses. A putative explanation for the severe symptoms is an immunopathology caused by an imbalanced host\u2013pathogen interaction with a perpetuated excessive reaction of host immune cells combined with delayed viral clearance Treatment options for the patients are limited. In addition to intensive care, the broad-band antiviral drug ribavirin has proven to be effective if administered early in the course of the disease (before day 6) The only currently available vaccine is Candid #1. This attenuated JUNV strain was generated through multiple passaging and provided good protection in clinical trials against argentine hemorrhagic fever (AHF) with an excellent safety profile Although there has been much effort to develop vaccines against LASV, none have been effective enough to warrant clinical trials. In this review, we summarize the work that has been done toward the development of vaccines against hemorrhagic fever caused by arenaviruses and discuss the current obstacles toward a licensed vaccine.The role of neutralizing antibodies (nAbs) in the control of arenavirus infections is controversial, but has been studied for LASV and JUNV in both human patients and animal models. The use of convalescent plasma has also been studied. Monkeys and guinea pigs are protected against Lassa fever by treatment with plasma from convalescent animals containing high titers of nAb In a placebo-controlled treatment study of JUNV, however, convalescent plasma of human AHF survivors benefited AHF patients with acute disease The role of nAbs during vaccination and natural infection has also been investigated.Heterologous vaccination with an apathogenic, related virus has been tested for two pairs: LASV/Mopeia virus (MOPV) and JUNV/Tacaribe virus (TACV). Cross-protection was demonstrated for LASV/MOPV without the appearance of nAbs In the case of JUNV/TACV, two groups Experiments in marmosets confirmed cross-protection between TACV and JUNV Knowledge of protective T-cell epitopes is essential for the development of vaccines based on cellular immunity.k) mice d restricted epitope NP 118\u2013126 of LCMV induces cross-protection to other Old World arenavirus homologues but not to the New World homologue Ter Meulen and colleagues screened for T-cell clones in Lassa fever survivors using recombinant antigen A human T-cell epitope identified at position 289\u2013301 in LASV GPC is highly conserved within Old and New World arenaviruses. CD4+ T-cells from a Lassa fever reconvalescent donor reacted to this epitope when the sequences were changed to the homologue sequences of other arenaviruses In another study, HLA-A02 and HLA-A03 restricted, protective epitopes were identified for different arenaviral pathogens In The most relevant vaccine trials are summarized in A successful example of a live vaccine for an arenavirus is JUNV Candid#1 (C#1), which confers reliable and safe protection against severe AHF. It is licensed in Argentina for the vaccination of people living in high-risk areas. A recent review summarizes the historical development and biological properties of the vaccine The use of live-attenuated strains or related apathogenic viruses for vaccination has a long history, starting with vaccinia virus for the prevention of smallpox or the yellow fever virus 17D strain An interesting live-attenuated vaccine candidate is the chimeric virus ML-29. Lukashevich generated a recombinant virus carrying the LASV S-segment and the MOPV L-segment by co-infection of Vero cells with both virus species Virus-like particles containing GP1, GP2, NP, and Z Gamma-irradiated LASV did not protect rhesus macaques against challenge, despite an increase in anti-LASV antibodies. This was attributed to the lack of adequate cellular immunity 2O2. The vaccine induced T-cell responses when high concentrations (50 \u00b5g) of inactivated virus were used in mice In contrast to these findings, Amanna et al. recently reported a LCMV vaccine based on purified LCMV particles inactivated by 3% HS. typhimurium and vaccinia virus were genetically modified to express LASV NP and LCMV NP. Mice inoculated with a recombinant vector showed LASV NP\u2013specific IgA and specifically reactive splenocytes Mastomys natalensis); vaccination could be accomplished in a manner similar to that of rabies vaccination in foxes An attractive way to deliver antigen for vaccination is oral uptake. In many instances, the mucosa is the first part of the host to come into contact with a pathogen. Oral application is furthermore minimally invasive and vaccination campaigns can be performed with less effort. Recombinant virus vectors have been in use since the early 1980s The biggest advantage is the use of genetically defined material. The antigen can be optimized to elicit the desired immune response. Safety aspects, such as the production of replication-incompetent viruses, are more easily addressed The different virus platforms allow the selection of a vector that has a similar tropism to that of the target virus vectors have been modified to express LASV NP In 2004, the construction of a recombinant vesicular stomatitis virus (rVSV) carrying LASV glycoprotein was described The attenuated yellow fever strain 17D (YFV 17D) is one of the oldest and most successful virus vaccines ever used. Use of recombinant YFV 17D is therefore promising because its safety and potential to elicit immunity are known. The addition of foreign genes to the YFV genome further attenuates the replication capacity of the virus. Some recombinant YFV 17D-based vaccines are already in clinical trials. A general review of YFV 17D vectors has been published recently Another vaccine vector that proved effective in guinea pigs against LASV challenge is a Venezuelan equine encephalitis virus (rVEE) replicon particle expressing GP or NP Plasmid DNA can be used to express and deliver target genes into the host to induce immunity. Antigen-presenting cells and other body cells take up plasmid DNA and the ensuing protein synthesis from the plasmid DNA leads to MHC I and II presentation of peptides encoded by the plasmid DNA Although DNA vaccines have an excellent safety profile in humans, their rather weak immunogenicity may require prime-boost vaccination with other vectors.The development of vaccines against arenaviruses started shortly after the identification of JUNV as the causative agent of AHF in the 1950s. These efforts culminated in the introduction of the licensed Candid#1 vaccine in the 1990s, which led to a significant decrease in mortality and morbidity to AHF We will focus on LASV in the Discussion because it is by far the most important pathogenic arenavirus clinically and has an important impact on public health. Approximately 100,000 to 300,000 cases including several thousand fatal outcomes are estimated to occur annually in West Africa Firstly, LASV is a neglected tropical disease. Affected countries are Nigeria, Ivory Coast, Mali, Guinea, Sierra Leone, and Liberia. The specific socioeconomic problems related to LASV vaccination are probably the biggest hurdles to be crossed. People who are at the highest risk of infection are also the poorest in the above-mentioned endemic countries. Poor hygiene and sanitation in these countries increases the probability of LASV exposure. Furthermore, many people living in these countries are unable to pay for vaccination. Prime-boost vaccination campaigns are difficult to organize due to the poor infrastructure. The low commercial value of a LASV vaccine makes the development of such vaccines an unattractive prospect for pharmaceutical companies. Instead, international nongovernmental organizations and foundations must provide the necessary financial support. Governments of the endemic countries should also contribute by logistically supporting clinical investigations in LASV patients and helping to organize phase II clinical trials for vaccine studies after phase I safety trials have been conducted in Western countries. As Nigeria is the biggest local economic power and among the top 10 oil-producing countries worldwide, it could take a substantial lead in these actions Studies of the role of T-cells during pathogenesis ; (ii) identification of the correlate of protection in survivors; and (iii) identification of the most promising vaccine concept . The scientific community should meet in an international conference on LASV vaccines and discuss the different approaches.In our opinion, the experimental basis is at a sufficient stage of advancement for clinical trials to proceed. Much work done in different animal species (including nonhuman primates) has demonstrated the safety and efficacy of several vector systems for vaccination against LASV infection.What will be the most promising vector system for clinical trials? MOPV in humans will probably offer the most effective protection against subsequent LASV infection, but the risks involved in using a nonattenuated BSL-3 agent (BSL-2 in Europe) in clinical trials are currently too high. The same is true for the recombinant MOPV-LASV assortant ML-29. DNA vaccination would be cheap and safe, but it is highly questionable whether a single application would be sufficient for protection. As inactivated virus particles seem to be ineffective, we think that the most promising vaccine will probably be a system based on recombinant virus vectors for which safety data are available. Safety aspects can first be assessed in clinical trials outside of West Africa to circumvent political and logistical problems in the endemic countries. We hope to see LASV vaccine candidates moving into clinical trials within the next few years. Clinical approval of a LASV vaccine would not only bring decades of hard work to a successful end but would also justify the resources that have been used."}
+{"text": "A central aim of the Whole System Demonstrator (WSD) programme is to find out how telehealth can help people manage their own long-term health conditions and to evaluate the potential benefits of this technological intervention within a randomised control trial. However, the adoption of this intervention at local level will entail significant changes in practice of care, in the division of health care work and in traditional professional-patient relationships and so will be contingent on the support of frontline health professionals directly responsible for its delivery. This was the rationale behind this theme 4 sub study within the Whole System Demonstrator evaluation study.To examine health professionals\u2019 views and experiences of implementing telehealth and their retrospective judgements of barriers and facilitators to its success.We undertook a 2-year qualitative longitudinal study. The method of data collection was semi-structured in-depth interviews with a purposive sample of frontline health professionals. The first year comprised baseline qualitative interviews with key health professionals directly involved in the delivery of telehealth in three Whole System Demonstrator sites: the London Borough of Newham, Cornwall and Kent. Interview participants included community matrons, teleheath monitoring nurses and general practitioners who deliver care to patients with long-term conditions. Follow-up interviews were conducted around one year later, prior to the end of the study and all interview data were thematically analysed and managed by NVivo.Currently under embargo by DH.Currently under embargo by DH."}
+{"text": "To the Editor: More than three quarters of critically endangered species of amphibians are threatened by infectious disease; several are already extinct (Litoria castanea), which was presumed to be extinct, was rediscovered in the Southern Tablelands of New South Wales, Australia. This species of frog had not been seen for 30 years, and a chytrid fungus, Batrachochytrium dendrobatidis, was thought to be the reason parasites forming plasmodia-like structures 10\u201320 \u03bcm in diameter . PlasmodLitoria booroolongensis) that had similar brain lesions and intralesional myxozoan parasites or an infectious process might be possible causes. Staff in the zoo\u2019s breeding program were questioned and indicated that the opportunity for introduction of a toxin was low. In addition, results for virus isolation and fungal and bacterial cultures were negative. We retrospectively reexamined histologic sections of an endangered booroolong frog (DNA was extracted from brain tissues (20 mg) by using the PureLink DNA Kit . To test for myxozoans, we used a highly Myxozoa-specific PCR to amplify the complete internal transcribed spacer of the ribosomal DNA (Cystodiscus axonis (syn. Myxidium sp. \u2018brain\u2019), as the most closely related sequence and 1 of 5 eastern banjo frogs (Limnodynastes dumerilii).PCR produced a 973-bp amplicon with DNA from brain and liver of the yellow-spotted bell frogs and the booroolong frog. DNA from the frogs showed 100% identity with each other, as did sequences from brain and liver. A BLASTN (Cystodiscus spp. parasites of frogs are emerging and have spread widely along the eastern coast in the past 40 years; they were first detected in a frog collected in 1966 (Cystodiscus parasites in frogs endemic to Australia and in the invasive cane toad (Little information exists about the pathologic significance of myxozoan parasite in frogs and tadpoles (Frog myxozoan parasites are yet to be documented as a cause of population decline; yet, the frequent presence of these parasites in moribund animals in captivity, including the yellow-spotted bell frog, demonstrates the need to monitor parasites in endangered frog populations worldwide. On the basis of our necropsy findings in the central nervous system of 2 yellow-spotted bell frogs, we encourage other investigators to consider the potential role that myxozoan parasites may play in wild and captive populations of declining frogs worldwide."}
+{"text": "Theory posits that community dynamics organize at distinct hierarchical scales of space and time, and that the spatial and temporal patterns at each scale are commensurate. Here we use time series modeling to investigate fluctuation frequencies of species groups within invertebrate metacommunities in 26 boreal lakes over a 20-year period, and variance partitioning analysis to study whether species groups with different fluctuation patterns show spatial signals that are commensurate with the scale-specific fluctuation patterns identified. We identified two groups of invertebrates representing hierarchically organized temporal dynamics: one species group showed temporal variability at decadal scales (slow patterns of change), whilst another group showed fluctuations at 3 to 5-year intervals (faster change). This pattern was consistently found across all lakes studied. A spatial signal was evident in the slow but not faster-changing species groups. As expected, the spatial signal for the slow-changing group coincided with broad-scale spatial patterns that could be explained with historical biogeography . In addition to spatial factors, the slow-changing groups correlated with environmental variables, supporting the conjecture that boreal lakes are undergoing environmental change. Taken together our results suggest that regionally distinct sets of taxa, separated by biogeographical boundaries, responded similarly to broad-scale environmental change. Not only does our approach allow testing theory about hierarchically structured space-time patterns; more generally, it allows assessing the relative role of the ability of communities to track environmental change and dispersal constraints limiting community structure and biodiversity at macroecological scales. Theory posits that ecological communities consist of species groups that operate in different scaling regimes, wherein the sets of abiotic and biotic organizing variables differ across hierarchical scales Ecologist have developed tools that allow for an assessment of the hierarchical, multiscale structure of ecological systems from either a spatial The aim of this paper is to study the space-time duality in the hierarchical organization of communities by assessing spatial signals in the cross-scale structure of time series. More specifically, we test the hypothesis that spatial scales of observations are commensurate with the temporal scales of community dynamics at different hierarchies of ecological organization. That is, broad-scale spatial patterns should match temporal patterns that unfold on broader time scales, and finer-scale spatial patterns should be associated with temporal processes on shorter (e.g. yearly) time scales. We test these conjectures using macroinvertebrate communities in lakes that serve as excellent model systems. First, previous research has shown that community dynamics follow partly theoretical predictions; that is, the temporal dynamics are hierarchically organized with faster and slower dynamics clearly operating in different temporal scaling regimes Spatial processes on community structure can take a variety of forms, including dispersal limitation and source-sink dynamics or mass effects, species extinctions and evolutionary processes We expect that if historical biogeography in the form of ecoregion delineations is the spatial analogue to temporal community change at decadal scales All field sampling and laboratory analyses reported in this study are part of the Swedish National Lake Monitoring Program, and are therefore regulated by the Swedish Agency for Marine and Water Management (HaV). All data are made freely available to the public and no permission for use of the data is therefore required. It is also confirmed that the field studies did not involve endangered or protected species.\u22121), acidity status and lake size (0.11 to 5.43 km2) Twenty-six lakes from the Swedish National Lake Monitoring Program were selected for this study based on longest available time series. These lakes were environmentally heterogeneous, spanning gradients in water clarity . For this study we used water quality data that were obtained from surface water samples (taken at 0.5 m depth), which were collected once in summer and autumn (October) at a mid-lake station in each lake. Previous research has shown that the mid-lake samples are representative for other lake areas 42\u2212 concentration), nutrients , and water clarity . All physicochemical analyses were done at the Department of Aquatic Sciences and Assessment following international (ISO) or European (EN) standards when available Water was collected with a Plexiglas\u00ae sampler and kept cool during transport to the laboratory. Samples were analyzed for electrical conductivity, water temperature, and variables including those indicative of acidity . Benthic invertebrates were collected from wind-exposed, vegetation-free littoral habitats in late autumn (October\u2013November) each year. Five samples were taken using standardized kick sampling with a hand net (0.5 mm mesh size). Each sample was taken by disturbing the bottom substratum for 20 seconds along a 1 m long stretch of the littoral region at a depth of c. 0.5 m; thus a total area of 1.25 mBecause no unified statistical procedure exists that allows testing the space-time duality of hierarchically organized systems, we used an approach that involves a sequence of independent statistical tests. The steps of this approach are summarized in We used a multivariate time series modeling approach, which breaks down the overall temporal structure of communities into independent temporal patterns shown by different groups of species within an assemblage Through a forward selection procedure, these PCNMs are related to the community data sets by means of RDA. The RDA retains significant PCNM variables and these are linearly combined in ways to extract temporal patterns from the species matrices; that is, the RDA identifies species with similar temporal patterns in the species \u00d7 time matrix and uses their temporal pattern to calculate a modeled species group trend for these species based on linearly combined PCNMs. The significance of the temporal patterns of all modeled species groups revealed by the RDA are tested by means of permutation tests.2 values of the canonical axes. The overall temporal structure of the whole community can then be deduced from the number of significant canonical axes in the RDA models.The RDA relates each modeled species group trend with a significant canonical axis. The R software generates linear combination (lc) score plots, which visually present the modeled temporal patterns of species groups that are associated with each canonical axis. Based on the number of significant canonical axes, the number of modeled species groups with different temporal patterns can be deduced. The ecological relevance of these temporal patterns can be quantified, using adjusted RBecause the canonical axes are orthogonal, the PCNM-RDA approach reveals temporal patterns of species groups that are independent from each other. Because temporal trends can be assessed at different scales, this method is useful for more accurately assessing the organization of ecological communities from a complex adaptive systems perspective All relevant steps in the analysis, from conversion of the linear time vector to PCNM variables, to calculation of modeled species group trends to visual presentation of the results in form of lc score plots were carried out with the \u201cquickPCNM\u201d function implemented in R 2.6.0 statistical software package Variance decomposition was used to assess the relative importance of environmental and spatial factors shaping the long-term assembly of species groups. Separate analyses were carried out for each modeled species groups identified across lakes. To account for the temporal structure of each species group explicitly in the analysis, species, environmental and spatial matrices were prepared in the following ways as rows. The values comprised the correlation coefficients resulting from the correlation between species raw abundances and the modeled temporal scores (linear combination scores) of canonical axis one from the time series models of each lake. The second species matrix was constructed in a similar way but using correlation coefficients derived from the correlations with the second canonical axis. Using the correlation scores associated with significant temporal patterns revealed through time series modeling, rather than time-averaged abundance data of each taxon, better accounts for the explicit temporal structure of species-group change over time in the metacommunity analyses. That is, the correlation scores, but not the time-averaged species abundance, capture the taxa contributions to the modeled temporal changes of species group; because the correlation scores reflect the relative strength of individual taxa contributing to species-group change, structural changes in abundance as a function of modeled group change is accounted for in the analyses.Regarding the environmental matrix, we followed a similar approach as with the construction of the species matrices. Spearman rank correlations between environmental variables and the modeled species group trends were carried out to identify the set of abiotic variables contributing to species group change through time. Those variables with significant correlations were retained and the absolute values of their Spearman rank correlation coefficients were used as predictor variables in the environmental matrix. To avoid overfitting in posterior variance partitioning analyses, significantly correlated environmental variables were excluded from the matrix. Also here, the correlation coefficients, rather than the time-averaged values of environmental variables, account explicitly for the relative strength of abiotic variables and their relative contribution to species-group change over time, and should therefore better reflect the temporal structure of species-environment associations compared to time-averaged units of environmental variables.Regarding the spatial matrix, we carried out spatial analyses using the RDA-PCNM procedure outlined above. For these analyses the geographical X (north-south) and Y (east-west) coordinates of each lake composed the explanatory variable matrix, which was then converted into spatial PCNMs using the quickPCNM function. These spatial PCNMs were then related to the matrices of species groups by means of a forward selection in RDA. The spatial PCNMs that were retained in the model, and which therefore explained significant spatial structure in the data sets, were extracted and compiled in a spatial predictor matrix for the variance partitioning analyses.To determine the relative importance of local environmental variables and spatial processes on the temporal dynamics of species groups, we conducted variation partitioning according to Peres-Neto et al. We classified species according to traits related to flying strength following The time series analyses using the RDA-PCNM approach detected significant temporal structure associated with different species groups of invertebrates in all of the twenty-six lakes between 1988 and 2007. Significant temporal structure was associated with canonical axes 1 and 2 in the RDA models, indicating the presence of two species groups with independent temporal fluctuation frequencies in the invertebrate communities across all lakes studied. The patterns associated with the first group of species explained on average >50% and the second species group on average <30% of the adjusted variance across all lakes in the models. The temporal structure of the first species group comprised change at broad temporal scales . These p4-N were found for only selected lakes. Water temperature was generally a weak correlate of the temporal patterns of the slow group, perhaps because the temporal sampling resolution did not allow us to capture its full variability.The importance and strength of environmental correlates of temporal patterns varied with species groups and were evident in the slow rather than the faster species groups across lakes . TemporaCaenis luctuosa, Caenis spp., Cloeon dipterum, Cloeon spp. (Ephemeroptera), Athripsodes bilineatus, Oecetis sp. (Trichoptera), Capnia artra (Plecoptera), Cladotanytarsus sp., Psectrocladius sp., Conchapelopia sp., Tanytarsus sp. (Diptera), Oulimnius sp. (Coleoptera), Helobdella stagnalis (Annelida), Hydracarina, Ceratopogonidae) were found in the slow and faster species groups, but their strength and the significance of their contribution to species group patterns varied among lakes.Spearman rank correlation analyses revealed that the number of taxa explaining the modeled temporal frequency patterns ranged 3\u201340 (slow groups) and 2\u201317 (faster groups). Many invertebrate taxa and spatial factors were significant in the variance partitioning; however, the variance explained by these fractions was generally low. The spatial fraction captured the importance of broad-scale spatial processes, whereby the sets of species contributing to species group change differed along an east-west geographical gradient (Tanypodinae (correlation score with RDA axis 1: \u22120.94), the stonefly Capnia atra (\u22120.52) and the mayfly Metretopus borealis (\u22120.45) correlated with the temporal change of the slow groups in lakes towards the west (lakes with white squares in Asellus aquaticus (0.54), the mayfly Leptophlebia vespertina (0.52), and the mollusc Pisidium sp. (0.52) . ApproxiDespite theory predicting that community dynamics are commensurate in space and time depending on the scales of ecological hierarchies at which these dynamics are explored Capnia atra in the arctic-alpine ecoregion and Asellus aquaticus in the boreal ecoregion; Researchers have often invoked historically contingent effects to describe species diversity in plant and animal communities at broad spatial scales While the relatively good correspondence of the spatial signal with ecoregion patterns in this study supports the interpretation of historical biogeography influencing community dynamics, we acknowledge that the determination of underlying causes is difficult Capnia artra, Leptophlebia vespertina, Metretopus borealis) are either weak flyers Asellus aquatics, Pisidium sp.). Taken together, these results suggest that dispersal between lakes across the observed west-east gradient is limited and that the spatial signal resulting from the spatial patterns of our study is most likely due to dispersal limitation. This interpretation is in agreement with an increasing body of evidence that dispersal limitation due to biogeographically defined boundaries rather than mass effects (source-sink dynamics) between macroecological spatial units describes historical community assembly of metazoans The dispersal traits analysis of the taxa that explained the slow species groups of invertebrates revealed that, despite the species groups being dominated by females that can fly>than 1 km before laying eggs, >80% of the taxa were weak flyers at the adult stage 2-values by the number of explanatory variables 2-values across species groups rather than on the actual values of these estimates.We expected to observe a spatial signal in the form of a finer-scale spatial pattern also in the faster species groups but the variance partitioning analysis failed to detect such an effect. Our hypothesis and underlying theory are therefore only partly supported. However, we acknowledge that this may be due to limitations with our approach. The temporal patterns of the faster species group showed fluctuation cycles on much shorter (roughly 5 years) time spans that explained less variance in the time series models compared to the slower species groups. We assume that while time series modeling was sensitive enough to identify distinct temporal patterns in the invertebrates, the sampling resolution for the faster species groups might have been either too coarse or the identified patterns too weak for detecting a significant spatial signal for these species groups. Also, the temporal patterns of the faster species groups were more variable across the lakes compared to the slower groups, suggesting that the faster group may be driven more by system intrinsic factors relative to an extrinsic control of the slower species group We conclude by highlighting two aspects of our study related to methodology and inference. Regarding the former, our approach was based on the PCNM methodology, which has identified patterns of hierarchically structured community dynamics. Although, refinements of the original PCNM procedure in spatial or time series modeling using canonical ordination have been suggested Regarding inference, our primary interest was to test the space-time duality of ecological patterns across hierarchical scales. However, our results allowed for inferences beyond this goal. Having included both spatial and environmental factors in the analysis provided opportunities to assess the relative importance of both factors in long-term community change. We found that not only space but also environmental variables were associated with the temporal dynamics of the slow group of invertebrates. This scale-specific imprint of environmental variables has also been found in previous studies and was due to broad-scale processes related to reduced acid deposition and climatic variability"}
+{"text": "The discovery of microRNAs (miRNAs) has led to a paradigm shift in our basic understanding of gene regulation. Competing endogenous RNAs (ceRNAs) are the recent entrants adding to the complexities of miRNA mediated gene regulation. ceRNAs are RNAs that share miRNA recognition elements (MREs) thereby regulating each other. It is apparent that miRNAs act as rheostats that fine-tune gene expression and maintain the functional balance of various gene networks. Thus MREs in coding and non-coding transcripts have evolved to become the crosstalk hubs of gene interactions, affecting the expression levels and activities of different ceRNAs. Decoding the crosstalk between MREs mediated by ceRNAs is critical to delineate the intricacies in gene regulation, and we have just begun to unravel this complexity. CEBPA, inhibiting its translation. miR-328 functions as a decoy by competing with CEBPA mRNA for the hnRNP E2 binding site, thereby preventing the translational inhibition of CEBPA mRNA. This function is in addition to its canonical function of suppressing PIM1 protein kinase translation, but nonetheless is critical to the regulatory control of the blast cell oncogenesis.In recent years, advances in genomic sequencing have led to several discoveries that can be considered exceptions to the central dogma of molecular biology. Much of the DNA that does not encode proteins has been shown to code for various types of functional RNAs that have important regulatory roles. The complexities in gene regulation increased logarithmically following the identification of microRNAs (miRNAs). miRNAs are 18\u201322 nucleotide long, evolutionarily conserved single-stranded RNA molecules that play a significant role in maintaining cellular identity and homeostasis Bartel, . miRNA mcis by enhancer sequences or in trans by genes that encode transcription factors (that act as activators or repressors) or RNA binding proteins. Recently, several studies have demonstrated that both coding and non-coding RNA molecules can regulate gene expression in trans by acting as sponges of miRNAs with a binding site for miR-399, a phosphate starvation-induced miRNA. However, miR-399 binding does not induce degradation of the IPS1 transcript due to mismatched nucleotides in the binding site, but rather results in sequestration of miR-399 from other target transcripts. Thus, IPS1 can effectively function as a sponge inhibiting the number of miR-399 molecules available for regulating its target PHO2 mRNA. The Arabidopsis thaliana pho2 mutant is a phosphate over-accumulator. This mutant carries a mutation in the PHO2 gene, encoding a ubiquitin-conjugating enzyme (UBC24), that leads to a reduction in full-length transcripts. , using a combined computational and experimental approach. PTEN is a tumor suppressor gene, mutations in which have been implicated in several cancers. Further subtle changes in PTEN dose can dictate critical outcomes with respect to tumor initiation and progression and thus it is oncogenic and involved in the progression of epithelial cancers it can be noted that these MREs can also influence the levels and activity of other mRNAs (trans regulation) by competing for the miRNAs. mRNA mediated cis and trans regulation is schematically represented in Figure In a third study, large scale analysis of gene expression data with matched miRNA expression profiles in human glioblastomas identified ~7000 genes that can act as miRNA sponges or target decoys . They showed that MREs are conserved between PTEN and PTENP1 and, as a consequence, overexpression of PTENP1 3\u2032UTR correspondingly increased cellular levels of PTEN by sequestering all miRNAs that inhibit PTEN. This in turn led to growth inhibition. The authors also observed a direct correlation between the expression of PTEN and PTENP1 in normal human tissues and prostate tumor samples suggesting these to be co-regulated. Further there was a direct relationship between PTENP1 copy number and PTEN expression in colon cancer tissues, indicating that PTENP1 transcript levels can regulate PTEN expression and thus act as a tumor suppressor and Enhancer of Zeste (EZH2) to PTEN promoter region and catalyzes the formation of H3K27me3 chromatin mark and large intergenic noncoding RNAs (lincRNAs). Notably, recent global analysis of Argonaute (Ago) bound transcripts through high-throughput sequencing of RNAs isolated by crosslinking immunoprecipitation (HITS-CLIP) technique suggests miRNA mediated regulation of lncRNAs in self-renewing embryonic stem cells compared to differentiating embryonic stem cells (20 vs. >500 copies/cell). Thus the sponge effect of linc-RoR can disappear once the embryonic stem cells start to differentiate.The ability of lncRNAs to function as ceRNA was first demonstrated in muscle differentiation locus and considered circular testis-determining RNA that can help identify ceRNAs for a given mRNA. The program examines the co-occurrence of MREs in the mRNAs (3\u2032 UTRs) on a genome-wide basis to predict ceRNAs for a specific mRNA targeted by miRNAs of miRNAs with the ceRNAs. Although various miRNA target prediction programs use algorithms to include seed sequence matches, evolutionary conservation of binding sites, and flanking secondary structures Bartel, , they prSeveral biochemical techniques have also enabled the experimental identification and functional validation of ceRNAs. For instance, Argonaute high-throughput sequencing of RNAs isolated by crosslinking immunoprecipitation (Ago HITS-CLIP), photoactivatable-ribonucleoside-enhanced crosslinking and immunoprecipitation (PAR-CLIP) and RNA immunoprecipitation are some platforms that, by providing a footprint of all the miRNAs physically bound to a given RNA, can enable identification of MREs and will provide insights on ceRNA regulatory networks and proteins of a gene further challenge the identification of relevant target genes. The unknown unknowns.\u201dOverall, the normal functioning of cells depends on the maintenance of balance between complex regulatory systems. This is achieved by dynamic and fine adjustments and through the ability to rapidly return to normal threshold levels when imbalances are detected. If the system fails to balance beyond threshold levels, the cells manifest a disease condition. The challenges we face is in understanding how this balance is maintained in physiological conditions and conversely, how it is altered in disease. The recent ENCODE project results suggest that about 85% of the human genome is transcribed, the majority of which are lncRNAs (Djebali et al., The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Recent attempts of disentangling direct from indirect dependences of amino acid types between residue positions in multiple sequence alignments have revealed that inferred residue-residue proximities can be sufficient information to predict a protein fold without the use of known three-dimensional structures. Here, we propose an alternative method of inferring coevolving site pairs from concurrent and compensatory substitutions between sites in each branch of a phylogenetic tree. Substitution probability and physico-chemical changes accompanied by substitutions at each site in each branch of a phylogenetic tree are estimated with the likelihood of each substitution, and their direct correlations between sites are used to detect concurrent and compensatory substitutions. In order to extract direct dependences between sites, partial correlation coefficients of the characteristic changes along branches between sites, in which linear multiple dependences on feature vectors at other sites are removed, are calculated and used to rank coevolving site pairs. Accuracy of contact prediction based on the present coevolution score is comparable to that achieved by a maximum entropy model of protein sequences for 15 protein families taken from the Pfam release 26.0. Besides, this excellent accuracy indicates that compensatory substitutions are significant in protein evolution.Residue-residue interactions that fold a protein into a unique three-dimensional structure and make it play a specific function impose structural and functional constraints in varying degrees on each residue site. Selective constraints on residue sites are recorded in amino acid orders in homologous sequences and also in the evolutionary trace of amino acid substitutions. A challenge is to extract direct dependences between residue sites by removing phylogenetic correlations and indirect dependences through other residues within a protein or even through other molecules. Rapid growth of protein families with unknown folds requires an accurate The evolutionary history of protein sequences is a valuable source of information in many fields of science not only in evolutionary biology but even to understand protein structures. Residue-residue interactions that fold a protein into a unique three-dimensional (3D) structure and make it play a specific function impose structural and functional constraints in varying degrees on each amino acid. Selective constraints on amino acids are recorded in amino acid orders in homologous protein sequences and also in the evolutionary trace of amino acid substitutions. Negative effects caused by mutations at one site must be compensated by successive mutations at other sites Extracting essential information from the evolutionary sequence record have been attempted using global statistical models. A Bayesian graphical model was applied to disentangling direct from indirect dependencies between residue positions in multiple sequence alignments of proteins Here, we report an alternative approach of inferring coevolving site pairs from concurrent and compensatory substitutions between sites in each branch of a phylogenetic tree. First, for each protein family, its phylogenetic tree a priori probability distribution of a parameter Assuming that substitutions occur independently at each site, a likelihood If The correlation between sites The following characteristic changes accompanied by substitutions whose correlations indicate coevolution between sites have been used as 1. Occurrence of amino acid substitution.The most primary quantity is one in the 2-dimensional sequence-position space, and the mean Euclidean distance from every true contact to the nearest predicted site pair (MDTNP). The MDPNT and MDTNP, which were defined and used in Accuracies of predictions based on the overall coevolution score and on the direct information (DI) score The filter The accuracy of three-dimensional structure prediction based on inferred distance constraints will depend on false positive rate and also fold type. The reliability of predicted coevolving site pairs decreases with decreasing value of coevolution score, and coevolving site pairs are selected in the decreasing order of coevolution score. Therefore, prediction accuracy tends to decrease as the total number of predicted sites pairs increases; see In In In The dependences of the accuracy of predicted contacts on their number are shown in It is shown in As expected, prediction accuracy is different between proteins. However, it is unexpected that prediction accuracy may be slightly lower for Multiple subsets of a full alignment are generated by using different values of threshold Some data points in The present method is based on co-substitutions between sites. As shown in Here, with respect to the prediction accuracy of contact residue pairs the present method has been shown to be comparable to the DI method Prediction accuracy of contact residue pairs is different between the protein families. Possible reasons for false positives include (1) statistical noise due to an insufficient number of sequences, insufficient diversity of sequences, and incorrect matches in a multiple sequence alignment and an incorrect phylogenetic tree, (2) structural and functional constraints from other residues, which are not taken into account in the calculation of partial correlation coefficients from a correlation matrix, within a protein or even through other molecules involved in a molecular complex such as oligomerization, protein-substrate, and protein-DNA, (3) structural variance in homologous proteins, although each Pfam family is assumed to be iso-structural. Especially, for proteins whose functional states are homomeric, inter-residue and intra-residue contacts must be discriminated.Of course prediction accuracy depends on the size of sequences used and their diversity. A general trend is that prediction accuracy becomes better as increasing number of sequences used, although the diversity of sequences in protein families is more effective than the number of sequences itself. Also, the presence of many deletions in sequences reduces the value of including those sequences. The present subset from their parent nodes in a phylogenetic tree are used to get less sequences but as diverse sequences as possible. The maximum number of sequences to be tried for the present method will correspond to a dataset generated by In order to get useful numbers An accurate multiple sequence alignment will be critical to increase prediction accuracy, because phylogenetic inference for co-substitutions as well as tree topology is based on alignments. In the present calculations, sites that correspond to deletions in a target protein structure are excluded in the optimization of tree branches and in the calculation of partial correlation coefficients. The calculation of partial correlation coefficients by including those sites has been attempted for the Kunitz_BPTI and RNase_H domain families. No improvement was obtained at least for these protein families.It has been shown that site pairs giving the significant values of partial correlation coefficients for substitutions, which concurrently occurred in branches of a phylogenetic tree and would be mostly compensatory substitutions, well correspond to contact site pairs in protein 3D structures. In compensatory substitutions, the fitness of first mutations must be negative, and successive mutations must occur to compensate the negative effect of the first mutation. A time scale in which compensatory mutations successively occur is much shorter than the time scale of protein evolution that is the order of fixation time for neutral mutations, otherwise negative mutants will be eliminated from a gene pool by selection. Thus, negative substitutions and their compensatory substitutions are expected to be observed as concurrent substitutions in the same branch of a tree. If substitutions are completely neutral, there will be no correlation in time when substitutions occur. Thus, a fact that contact site pairs can be well predicted by the present method indicates that compensatory substitutions are significant in protein evolution. Significance of compensatory substitutions was also indicated by a fact that likelihoods of phylogenetic trees can be significantly improved by taking account of codon substitutions with multiple nucleotide changes So far remarkable improvements in the accuracy of contact prediction were all achieved by extracting essential correlations of amino acid types between residue positions from multiple sequence alignments Residue-residue interactions maintaining secondary structures appear to be more easily detected by the joint distribution of amino acid types between the sites than concurrent substitutions. In general, the present method less detects secondary structure interactions between neighboring sites along a sequence than the other. Marks et al. From a such viewpoint, methods of extracting direct correlations of amino acid types between sites may be better for extracting direct dependences between sites than those of detecting compensatory substitutions in a tree. However, interactions between closely-located sites do not necessarily result in distinct correlations of amino acid types between the sites. Residue-residue interactions that are less specific to amino acid type are such interactions. For example, hydrophobic interactions are relatively non-specific, but significantly contribute to residue-residue interactions inside protein structures. In the case of membrane proteins, most of amino acids embedded in membrane are hydrophobic. Even in the case that residue-residue interactions are too non-specific to result in distinct correlations of amino acid types between sites, physico-chemical changes due to substitutions may require compensatory substitutions, and therefore the interactions may be identified by detecting compensatory substitutions. Membrane proteins may be this case; see 7tm_1 in The DI method based on the joint distributions of amino acid types may be simpler and faster than the present method based on co-substitutions in a phylogenetic tree. However, the joint distributions of amino acid types calculated from a multiple sequence alignment include more or less phylogenetic bias, but there is no such a bias in the present method. Thus, the both types of methods are complementary to each other.A Bayesian graphical model was applied to disentangling direct from indirect dependencies between residue positions in multiple sequence alignments of proteins de novo prediction of three-dimensional structure is desirable to catch up with the high growing speed of protein families with unknown folds.Determination of protein structure is essential to understand protein function. However, despite significant effort to explore unknown folds in the protein structural space, protein structures determined by experiment are far less than known protein families. Only about 36% of the Pfam manually curated families include at least one member whose structure is known. In the case of domains of unknown function (DUFs), which are rapidly growing in the Pfam-A, some 26% of DUFs have at least one structurally determined protein within a family or within a clan ab initio folding of protein. de novo prediction of protein structure, but their conformational samplings are not efficient enough to fold longer proteins than at most 100 residues.The vast conformational space of protein makes it difficult to determine protein structure by On the other hand, the accuracy of the present contact prediction is insensitive to sequence length; see The present contact prediction based on coevolving site pairs is comparable to the method Figure S1Dependence of PPV on the number of characteristic variables used. For each protein in (PDF)Click here for additional data file.Figure S2Coevolving site pairs versus DI residue pairs. Residue pairs whose minimum atomic distances are shorter than 5 \u00c5 in a protein structure and coevolving site pairs predicted are shown by gray filled-squares and by red or indigo filled-circles in the lower-left half of each figure, respectively. For comparison, such residue-residue proximities and predicted contact residue pairs with high DI scores in (PDF)Click here for additional data file.Figure S3Dependence of MDPNT on the number of predicted contacts. The dependences of the mean Euclidean distance from predicted site pairs to the nearest true contact in the 2-dimensional sequence-position space on the total number of predicted contacts are shown for each protein fold of (PDF)Click here for additional data file.Figure S4Dependence of MDTNP on the number of predicted contacts. The dependences of the mean Euclidean distance from every true contact to the nearest predicted site pair in the 2-dimensional sequence-position space on the total number of predicted contacts are shown for each protein fold of (PDF)Click here for additional data file.Figure S5Dependence of MDPNT on the number of sequences used. The mean Euclidean distance from every predicted site pair to the nearest true contact in the 2-dimensional sequence-position space is plotted against the total number of homologous sequences used for each prediction. The total numbers of coevolving site pairs predicted for each protein are equal to one third of true contacts. The filled marks indicate the points corresponding to the number of used sequences listed for each protein family in (PDF)Click here for additional data file.Figure S6Dependence of MDTNP on the number of sequences used. The mean Euclidean distance from every true contact to the nearest predicted site pair in the 2-dimensional sequence-position space is plotted against the total number of homologous sequences used for each prediction. The total numbers of coevolving site pairs predicted for each protein are equal to one third of true contacts. The filled marks indicate the points corresponding to the number of used sequences listed for each protein family in (PDF)Click here for additional data file.Table S1Dependence of contact prediction accuracies on phylogenetic trees.(PDF)Click here for additional data file.Data S1Coevolution scores, overall coevolution score and rank of each site pair in each protein.(BZ2)Click here for additional data file."}
+{"text": "Image contrast between normal tissue and brain tumours may sometimes appear to be low in intraoperative ultrasound. Ultrasound imaging of strain is an image modality that has been recently explored for intraoperative imaging of the brain. This study aims to investigate differences in image contrast between ultrasound brightness mode (B-mode) images and ultrasound strain magnitude images of brain tumours.Ultrasound radiofrequency (RF) data was acquired during surgery in 15 patients with glial tumours. The data were subsequently processed to provide strain magnitude images. The contrast in the B-mode images and the strain images was determined in assumed normal brain tissue and tumour tissue at selected regions of interest (ROI). Three measurements of contrast were done in the ultrasound data for each patient. The B-mode and strain contrasts measurements were compared using the paired samples t- test.The statistical analysis of a total of 45 measurements shows that the contrasts in the strain magnitude images are significantly higher than in the conventional ultrasound B-mode images (P\u2009<\u20090.0001).The results indicate that ultrasound strain imaging provides better discrimination between normal brain tissue and glial tumour tissue than conventional ultrasound B-mode imaging. Ultrasound imaging of tissue strain therefore holds the potential of becoming a valuable adjunct to conventional intraoperative ultrasound imaging in brain tumour surgery. Assuming that the stress applied to the tissue is uniform, the calculated and displayed strain values should in ideal circumstances be proportional to the modulus of elasticity (Young's modulus) of the tissues. The imaging technique is therefore often also referred to as ultrasound elastography and the corresponding images are often called elastograms.Prior to modern neuroimaging, the neurosurgeon could detect pathological tissue by palpating the suspected areas of the brain during surgery. The tumour would be felt as a region with different elasticity compared to the surrounding normal brain, as such tumours most often have a firmer consistency than normal tissue. Even today when an operating microscope is used, the surgeon may palpate the tissue using the surgical instruments in order to find areas of the brain with differences in tissue hardness. This manual inspection of tissue hardness may aid to identify remaining tumour tissue that may be difficult to detect with direct visualisation using the operating microscope. Ultrasound imaging can also be used for the assessment of tissue hardness through imaging of strain images and conventional brightness mode images have not been published so far.Several research groups have investigated the use of ultrasound elastography in imaging brain tumours -3. Howevet al., the use of ultrasound strain imaging in combination with ultrasound B-mode imaging led to a higher area under the receiver operating characteristics (ROC) curve then by using ultrasound B- mode images alone [The clinical performance of ultrasound strain imaging has been evaluated more thoroughly in breast tumours. In a study by Burnside es alone .strain ratio between strain levels in assumed tumour and in assumed normal tissue. This has resulted in several recent papers on the use of strain ratio for diagnostic purposes. One study compared the performance of B-mode images, strain images and strain ratio in differentiating benign and malignant tumours in a group of 227 women with focal breast lesions [et al. compared the diagnostic performance of ultrasound B-mode sonography and strain rate in differentiation of malignant and benign breast masses and found no significant difference in the area under the ROC curve [A few ultrasound machines have implemented the option of calculating the lesions . The autThese and other studies indicate that ultrasound strain imaging may to some extent provide an improvement in diagnostics of some tumours compared to using conventional ultrasound alone. It might be asked what features of strain imaging do account for an increase in diagnostic performance compared to conventional B-mode imaging. Ultrasound is able to produce B-mode images with high spatial and temporal resolution, but the contrast resolution may be limited compared to other imaging techniques like Magnetic Resonance Imaging (MRI) or Computed Tomography (CT). The difference in brightness intensity between the lesion to diagnose and the normal tissue may in some cases appear to be low, thus having a poor contrast resolution. An improved image contrast would probably lead to improved diagnostics of these low-contrast lesions. It could be speculated that the ultrasound strain images might possess a higher image contrast than conventional ultrasound. The imaging of strain is related to other properties of tissue than the generation of ultrasound B-mode images, and therefore holds the potential to provide unique information about tissue pathology .It is therefore of clinical interest to make comparisons of attributes like image contrast between the two modalities, to assess potential differences in imaging of lesions.In this study we have processed and analysed ultrasound data acquired during surgery of glial tumours in order to compare the image contrast in conventional ultrasound images (B-mode) versus the image contrast in ultrasound strain images. We have performed a quantitative comparison of image contrast between ultrasound strain images generated by the natural pulsation of the brain parenchyma and the corresponding B-mode images. The measurements of image contrast have been performed in the peripheral parts of the tumour, covering the transition from cancerous tissue towards more normal brain tissue. The hypothesis of the study was that the contrast between tumour and normal tissue is higher in the ultrasound strain images than in the ultrasound B-mode images.Regional Research Ethics Committee of Central Norway approved the study protocol and the use of previously acquired ultrasound data in this retrospective study. The anonymous ultrasound data used in this study has been acquired with the patient's informed consent as a part of a prior study.Ultrasound radiofrequency (RF) data was acquired during surgery of 15 glial tumours. The patients were diagnosed by histopathology. Eight patients had low-grade glioma (WHO-grade I and II) and 7 patients had high-grade astrocytoma (WHO grade III & IV). The data were acquired after craniotomy with the 10\u2009MHz flat linear probe kept motionless on intact dura. An engineer (TS) adjusted the settings of the ultrasound scanner prior to acquisition, aiming to provide ultrasound B-mode images with a homogenous appearance but avoiding brightness saturation. The acquired data covered at least one cardiac cycle in time.The axial strain was calculated by differentiation of time delays that were estimated by processing of the ultrasound RF-data. The time delays were calculated by implementing in Matlab a method initially suggested by Cabot , which hThe B-mode and strain magnitude images were analysed with measuring methods implemented in Matlab. For each dataset a total of three measurements of contrast for both strain and B-mode were done at three different locations in the images. That is, a different location in the image was selected for each measurement. All three measurements for a given tumour were done at the same image frame, i.e. at the same point in time. With reference to the B-mode images, the measurements were performed in the hyperechoic tumour and the surrounding isoechoic regions presumably representing normal brain tissue.2 in the images.The procedure for obtaining the contrast measurements is illustrated in Figure The second step of the measurements was to calculate the contrast between expected cancerous tissue and normal tissue for both image modalities. The calculation was based on the local minimum and maximum values found closest to the cross mark (X) in the respective plotted curves, i.e. the local extrema close to the tumour border as identified by the operator.The maximum allowable lateral range for the amplitude picking was defined with the aid of a low-pass (LP) filtered version of the curves , using a significance level \u03b1\u2009=\u20090.05. Normal quantile plots (Q-Q plots) were used for assessment of the sample populations' probability distribution. The independent samples t-test was used to investigate differences in contrast between the subgroups of low-grade and high-grade gliomas for a given image modality.For each glial tumour 15 cases) three analyses of contrast were done on ultrasound strain magnitude and B-mode images, giving a total of 45 measurements for each modality. The measurements were performed at depths between 0.7 and 3.0\u2009cm, with the average measurement depth being 1.9\u2009cm for the 45 samples. Table 5 cases tl\u2009=\u200924) and high-grade gliomas (Nh\u2009=\u200921). The normal probability distributions of the sample populations were confirmed by inspection of Q-Q-plots. For the glial tumours as a whole the contrasts between tumour and presumably normal tissue in the strain images were significantly higher than the corresponding contrast in the B-mode images (P\u2009<\u20090.0001). For the subgroup of patients with high-grade gliomas the contrast in the strain images were significantly higher than the contrast in the B-mode images (P\u2009<\u20090.0001), and the same was observed for the subgroup with low-grade gliomas (P\u2009<\u20090.0001).The difference in contrast between the two image modalities was statistically investigated for all contrast measurements of the tumours (N\u2009=\u200945), and for the measurements in the subgroups low-grade gliomas nor the B-mode images (P\u2009=\u20090.25).In this study we have performed measurements of strain magnitude and brightness intensity across the ultrasound depicted border of glial tumours, with subsequent analysis of differences in contrast between the image modalities. The results of the analyses show a significantly higher contrast between tumour tissue and presumed normal tissue in the strain images, as compared to the B-mode images. From Table In our processed strain images we have indeed seen that noise can be present in parts of the image. This is typically seen in regions with low intensity in the B- mode image, for example when imaging homogenous tissue like the brain stem and deeper white brain matter that appear hypoechoic compared to other brain tissue. However, our measurements are intentionally performed in the transition zone from tumour to presumed normal brain tissue. In this short distal range we expect the data to be least influenced by noise, with the B-mode intensity ranging from the hyperechoic tumour to the isoechoic areas with presumed normal tissue. The inspection of the strain magnitude curves did not indicate any abrupt change of signal level within the spatial distance analysed, as could be expected if the strain processing produced invalid results.It can be argued that the measurements performed in the transition zone from tumour to normal tissue impose a selection bias for the contrast analysis. This is the region that is of interest to the surgeon, but it is also the region where we should expect the strain images to be least affected by noise. The contrast measurements are only valid for analysis of image contrast between glial tumour tissue and adjacent normal tissue. It should not be interpreted to represent differences in contrast resolution between the image modalities in general.The methodology for the analysis of image contrast in the peripheral parts of tumour involves a subjective assessment of the approximate position of the depicted tumour border and manual reading of the displayed strain magnitude and brightness curves. Even if the implemented method of analysis is not fully automatic, the measurements were obtained by following a standardized procedure, as outlined in the Methods section. Quantitative image quality measures will usually imply some subjective decisions about where to perform the analysis in the image. It is therefore difficult to establish a method without some kind of manual intervention. However, the calculation of additional measures like e.g. the contrast-to-noise ratio (CNR), or signal-to-noise ratio (SNR) would increase the robustness of the image assessment and should be considered in future studies . It woulAs discussed above there are different factors that may have affected the measurements. However, we have found the obtained measurements to be quite robust and we believe that the differences in contrast found between ultrasound strain magnitude and B-mode intensity should represent actual differences between the image modalities.diagnostic parameter as its value may be heavily dependent on which regions are selected for comparison and is therefore prone to variations between observers and within the patient population, which has also been pointed out by others [Ultrasound strain imaging in brain surgery is a quite novel approach and we have not found other studies performing a similar comparison between strain images and conventional B-mode images. It is therefore difficult to compare our results with previous findings. Some studies have however explored the use of strain ratio for diagnostic purposes, but the similar ratio for B-mode intensity has not been reported. The strain ratio is a quantitative index but should not be considered as an objective y others . It shoudiagnostic value of ultrasound strain imaging of brain tumours has not been assessed in this study. This would require a comparison between image findings and histology, which was not available for the current study. Glial tumours are diffuse infiltrating and tumour cells are likely to be present also beyond the border zone seen in the ultrasound B-mode image [The de image . ScatterThe results obtained should provide a rationale for further technical developments and investigations of methods for real-time intraoperative ultrasound strain imaging of brain tumours. The ultrasound strain magnitude images possess a higher contrast between tumour and normal brain tissue in the peripheral parts of the tumour than the conventional B-mode images. This suggest that the surgeon may use imaging of strain to improve detection of remaining tumour towards the end of surgery, compared to using conventional ultrasound imaging alone.in vivo data acquired during brain tumour surgery. The strain magnitude images have a significantly higher contrast between normal tissue and tumour tissue than conventional B-mode images. We conclude that for glial brain tumours, ultrasound imaging of strain holds the potential to become a valuable adjunct to conventional brightness mode imaging. However, the practical aspects of acquisition and display of strain images in real time as well as evaluation of diagnostic value must be addressed in future studies.Off-line processing of ultrasound RF-data to yield strain magnitude images has been performed on The authors declare that they have no competing interests.TS contributed to the study design, acquisition of data, data analyses and drafting of manuscript, RB contributed to the study design and implementation of the strain processing methods and measurements method in Matlab, MI performed the measurements and contributed to the statistical analyses and drafting of manuscript, OS contributed to data acquisition and drafting of manuscript and GU contributed to the study design, acquisition of data and drafting of manuscript. All authors read and approved the final manuscript.The pre-publication history for this paper can be accessed here:http://www.biomedcentral.com/1471-2342/12/11/prepub"}
+{"text": "There is clinical evidence to recommend the use of partially hydrolyzed infant formulas (HA-IF) for at risk children as an option for prevention of allergic diseases, particularly atopic dermatitis/eczema . As cow's milk allergic infants are at risk of developing allergy to newly introduced foods at weaning, we aimed to extend the concept of HA-IF to egg, another potentially allergenic food.Hydrolyzed egg (HA egg) was produced using a specific combination of heat and enzymatic treatments of whole egg. Characterization and reproducibility of the product was assessed using Size Exclusion Chromatography. Residual antigenic proteins were quantified using ELISA. Allergenicity of the HA egg was tested both in vitro (serotonin release assay) and in vivo . The capability of HA egg to induce oral tolerance to ovalbumin was assessed in both rat and mouse models.HA egg production was shown to be highly reproducible in terms of peptide profiling, residual allergenic proteins and in vivo benefits. Composition of HA egg, as compared to whole egg showed a clear shift towards peptides <1000 Da. The content of major allergenic proteins was reduced by at least 1000 fold in comparison to whole egg. The allergenicity of HA egg was also highly reduced in vitro and almost no allergic response (assessed by RMCPII quantification in sera) was observed in rats preliminary sensitized to ovalbumin and orally challenged with HA egg. Moreover, we showed that HA egg is able to induce oral tolerance to ovalbumin when used in similar quantity as whole egg.In conclusion, we have shown that the concept of \"low allergenicity linked to induction of oral tolerance\" can be applied to other food allergens than cow's milk. A small human SOTI trial with HA eggs is being launched."}
+{"text": "To the Editor: Several New World hantaviruses cause hantavirus pulmonary syndrome (HPS) in the Americas. All hantaviruses that cause HPS are hosted by the rodent family Muridae, subfamily Sigmodontinae (New World rats and mice). Since the Sin Nombre virus (SNV) was documented in 1993 G antibody reactive with SNV antigen by using enzyme immunoassay ranged f,Zygodontomys brevicauda and Oligoryzomys fulvescens (reservoir of Choclo virus, a known agent of HPS in Panama [The prevalence of SNV-reactive antibody in rural workers indicates that at least one hantavirus is endemic in rodents in northern Colombia and is frequently transmitted to rural residents. This finding further supports mounting evidence that hantaviruses and HPS are a Pan-American problem (Despite the prevalence of antibodies to a hantavirus in humans in northern Colombia, we did not find any human illnesses. None of the SNV antibody\u2013positive volunteers reported illness compatible with HPS; however, some hantaviruses may cause mild or no illness. Surveys have shown hantavirus antibodies (13%\u201340% prevalence in Paraguay and northern Argentina [O. fulvescens in northern Colombia underscore the importance of physician awareness and surveillance for HPS. A systematic survey of sigmodontine rodent populations that will identify the hantaviruses and their hosts is imperative.Infection in rural workers and the likely presence of"}
+{"text": "There is a pressing need for modeling of the symbiotic and at times dysbiotic relationship established between bacterial microbiomes and human mucosal surfaces. In particular clinical studies have indicated that the complex vaginal microbiome (VMB) contributes to the protection against sexually-transmitted pathogens including the life-threatening human immunodeficiency virus (HIV-1). The human microbiome project has substantially increased our understanding of the complex bacterial communities in the vagina however, as is the case for most microbiomes, very few of the community member species have been successfully cultivated in the laboratory limiting the types of studies that can be completed. A genetically controlled ex vivo model system is critically needed to study the complex interactions and associated molecular dialog. We present the first vaginal mucosal culture model that supports colonization by both healthy and dysbiotic VMB from vaginal swabs collected from routine gynecological patients. The immortalized vaginal epithelial cells used in the model and VMB cryopreservation methods provide the opportunity to reproducibly create replicates for lab-based evaluations of this important mucosal/bacterial community interface. The culture system also contains HIV-1 susceptible cells allowing us to study the impact of representative microbiomes on replication. Our results show that our culture system supports stable and reproducible colonization by VMB representing distinct community state types and that the selected representatives have significantly different effects on the replication of HIV-1. Further, we show the utility of the system to predict unwanted alterations in efficacy or bacterial community profiles following topical application of a front line antiretroviral. The vaginal mucosa is composed of a stratified squamous epithelium covered by a mucous and glycogen rich layer that supports colonization by highly complex and remarkably diverse bacterial communities. The symbiotic relationship between the bacterial community fed by the carbon sources provided by the vaginal epithelial cells (VEC) creates both physical and chemical barriers that serve as part of the front line defenses against infection. Doederlein and colleagues are credited with the first report of cultivation of vaginal bacteria in 1892 exclusively isolating Lactobacilli concluding that they were important contributors to vaginal health In addition to impacting antimicrobial therapy, clinical associations have established that BV VMBs increase susceptibility to infection by HIV-1 and other STI Recent clinical reports have established that vaginal applicants can alter VMB composition L. crispatus (CST I), L. gasseri (CST II), L. iners (CST III) and L. jensenii (CST V). VMB with multiple Lactobacillus species rather than a single predominant organism are categorized as CST IVA. VMB that lack Lactobacilli and are commonly designated as BV are categorized as CST IVB.Cultivation-independent clinical sampling approaches including vaginal swabs, tissue biopsies and IVR evaluations have provided insights into VMB composition. These approaches have highlighted the dynamic and kinetically fluid interactions among VMB community members and with the VEC but are complicated by the genetic and environmental diversity influences that confound interpretation of these massive data sets. Specifically, next generation sequencing studies completed by several groups have solidly established the complexity and dynamic nature of VMB communities as well as the impact of race, menstruation, sampling method, etc. Using this categorization system and a PCR-based approach to characterize cryopreserved VMB collected from women undergoing routine gynecological exams, we have extended our recently reported VEC stratified multilayer culture system We previously reported the establishment of a stratified squamous VEC multilayer culture system with an apical air-interface that produces the necessary carbon sources for colonization by several single species commensal bacteria common to the vagina SX-1 (an R5 strain that infects through CD4 and the CCR5 coreceptor expressed on both TZM-bl and MDM) were stained with X-gal (48 h pi) to localize b-gal+ cells. In situ X-gal staining of infected cultures provided the opportunity to identify the number and size of HIV-1 replication foci staining in the Vion foci . UninfecMDM offered many advantages for study of natural HIV-1 infection including important signaling pathways active in these professional immune cells that are inactive in TZM-bl cells. For this reason, VEC-MDM co-cultures were also optimized and evaluated as shown for VEC TZM-bl . For botSX-1 (MOI of 1) led to increased genomic titers with lower amounts of virus produced in both apical and cellular fractions from VEC-TZM-bl co-cultures than was detected in VEC-MDM transwells infected in parallel simulating vaginal exposure to HIV-1. The transwell system also provided for the opportunity to model three compartments associated with HIV-1 infection. Specifically, the co-culture apical surface was subjected to gentle lavage to collect virus associated with female to male transmission, the cell fraction was harvested to quantify active viral replication and integration and, finally, the basal compartment was sampled to measure virus that transcytosed the multilayer modeling potential spread to systemic sites. Samples were analyzed by HIV-specific quantitative RT-PCR from each compartment harvested at 24, 48, or 72 h pi. The initial inoculum of 1,000 TCID50 of HIV-1Chlamydia trachomatis, cytomegalovirus, herpes simplex virus, human papilloma virus, Mycoplasma genitalium, Neisseria gonorrhea, Trichomonas vaginalis, Ureaplasma spp or detectable yeast (Candida spp) were excluded from additional study. Finally, as indicated by PCR detection of the presence of Y chromosome sequences, samples from women who had recent sexual intercourse also were excluded. Using these criteria, seven VMB representing 5 of the 6 CST and a range of NSs were selected for testing in contrast to our previous inability to viably colonize multilayers with this single species 2 supplemented normal air environment consistent with the natural environment created in the human vagina.Aliquots of the selected samples were thawed and tested for general bacterial viability by creating a 10-fold dilution series in Mann-Ragosa Sharpe (MRS) broth to quantify bacterial titer iversity . The tariversity . UncolonTwo VMB communities of intermediate and extreme population diversity were selected to illustrate the quantitative increase in multiple species as shown Peptinophilus spp, group B streptococcus, Aerococcus spp, Dialister spp, and A. vaginae) suggesting that for such bacteria, the VEC multilayer provided a potentially enhanced environment relative to the vaginal mucosa. Similarly, a few bacteria maintained or had slightly lower titers or were lost from the population at 48 h in a community dependent fashion . Unexpectedly, in the tested CST III VMB, L. crispatus failed to thrive in contrast to our data from single species colonization To identify limitations of the VEC culture system, we evaluated colonization by multiple VMB looking for specific genus or species-level community members that consistently failed to increase in titer. The vast majority of identified community members increased or maintained genomic titers relative to the levels predicted by the original inoculum . In factLactobacillus spp colonization We also assessed the inflammatory state established by each of the CST representatives and as previously observed with commensal single species L. iners and group B streptococcus; Based on the successful colonization of VEC co-cultures and successful HIV-1 infections of the co-cultures, we tested the hypothesis that colonization by the VMB CST representatives would alter HIV-1 infection/replication as indicated by genomic titers in the cellular fractions. Three replicate studies were completed and the outcomes are presented as average HIV-1 genomic burden in the context of uncolonized or specifically colonized VEC co-cultures established with either TZM-bl or MDM , genomicL. iners and group B streptococcus but included at least 4 additional bacterial species that contributed to enhanced HIV-1 replication , collected \u223c60 d earlier from the same woman as the most suppressive VMB, showed a distinct community profile that was dominated again by p<0.05, . These b vaginae . These o vaginae . AerococMB types . Study oClinically, VMB appear to alter the efficacy of vaginally-applied antiretroviral compounds through unknown mechanisms. Conversely, molecular evaluations have indicated that selected vaginal applicants alter the composition of VMB Prevotella spp, total Streptococcus and total Enterococcus. A complete loss of Corynebacterium was observed in the TFV-treated CST IVB cultures. Reductions in total Enterococcus also were observed as were a number of additional bacteria common to the CST IVB community including Dialister, S. sanguinegens, Peptostreptococcus spp, total Staphylococcus, Eggerthella spp and Veillonella spp. TFV treatment increased a few bacteria types within each community but generally to a lesser degree than seen with the reductions. In the CST IVB community, a single application of TFV treatment was associated with increased levels of Aerococcus spp, A. vaginae, the BVABs, and G. vaginalis. Paradoxically, the amount of G. vaginalis sialidase DNA was reduced. Collectively, these preliminary studies suggest the VMB colonized multilayer co-culture model will be of substantial use for prediction of vaginal applicant impact upon the VMB but additional association with clinical data will be required.A limited preliminary study of the impact of TFV upon VMB composition was completed to determine if the colonized co-culture system could be used to complete in vitro assessments of potential VMB toxicity. For this evaluation the profiles of the suppressing CST III VMB from a pool of three cultures treated with TFV or three parallel cultures that were treated with vehicle alone were compared . SimilarThere has been a pressing need to develop a model system to study the intact VMB in the context of VEC and professional immune cells. Since the earliest descriptions of the bacteria that colonized the human vagina there have been many efforts to cultivate the complex communities in the laboratory. Recent success with cultivation-independent approaches has established an accurate picture of the community members and the impact of external influences upon the VMB L. iners) could be seen consistently in the established VMB. Further studies will be required to evaluate the impact of such differences that have been widely reported in clinical studies of the same woman over time . The reproducibility of the established VMB indicates the utility of the culture system but may reveal a limitation of the cultures with regard to certain community profiles. Further CST representatives will need to be tested to more fully validate the VEC multilayer system.Our VEC multilayer culture system provides the necessary environment to support colonization by intact, transplanted VMB representing 5 of the 6 established CST . The curCryopreservation of the VMB sample allowed for repeated analyses and development of mechanistic studies to understand the relationships formed between bacterial community members and between the VMB and the underlying host cells. This was completed in a defined genetic background provided by the immortalized VEC and controlled culture conditions. Further, the model provides opportunity for controlled introduction of influences that would not be possible in clinical research settings. The refinement provided by the established co-cultures also enables the opportunity to begin to study the molecular dialogs between professional immune cells common to the vaginal mucosa and the surrounding VEC in the context of controlled colonization by selected VMB. Such studies will include evaluation of the metabolome and signaling molecules common to each VMB. Two elegant clinical evaluations were recently reported showing the metabolome and proteome of vaginal fluids collected from women before and after treatment for BV that identified a number of metabolic markers and signaling molecules associated with BV The established co-cultures also allow for study of STI outcomes in the context of the VMB including life-threatening HIV-1 transmission and infection as described in this report. It has been estimated that HIV-1 infection requires 200\u20132,000 exposures to virus during vaginal intercourse but during BV episodes and coincident inflammation in the vaginal mucosa the risk of HIV-1 transmission is significantly increased The application of next generation sequencing has also recently shown that the vaginal application of candidate microbicides and other products altered the composition of the VMB of treated women. These studies mark the beginning of improved toxicity screening of candidate compounds but are expensive, labor-intensive and rely upon clinical materials emphasizing the need for a model system capable of screening vaginally-applied compounds for impact on the VMB prior to clinical evaluation. As proof of concept, we tested the impact of a single application of TFV upon HIV-1 in the context of colonized cultures and also assessed the community changes . AlthougRecent clinical trials of topical vaginal microbicides designed to reduce HIV-1 transmission including CAPRISA 004 have shown the potential of a TFV gel formulation. The impact of vaginally-applied 1% TFV gel on VMB community composition has not been reported but in clinical trials that included assessment of the microflora there were indications of altered community profiles based on Nugent scoring G. vaginalis is an initial colonizer setting up for more damaging VMB and biofilm formation The culture system also provides the first opportunity to study bacterial interactions, products and signaling during the formation of the pathogenic biofilms associated with BV. Other cell culture models have been used to evaluate the initial adhesion and potential order of introduction of bacterial species that overwhelm otherwise healthy VMBs The VEC multilayer model also provided three compartments that each represent specific aspects of vaginal tissue as well as support of study of the HIV-1 infection cycle. Using HPV E6/E7 oncoprotein immortalized rather than cancerous cells has provided the opportunity for expanded numbers of available cells of the same genetic background without the issues associated with oncogenic transformation. The immortalization process does alter the cell's physiology but the expansion limitations and difficulties associated with tissue procurement to create primary cells require the use of such cell cultures for initial screens. Subsequent confirmation studies with cryopreserved primary progenitors are warranted for some candidate evaluations.During our foundational evaluations of the culture system we intentionally avoided the addition of exogenous hormones essentially modeling the transition between the luteal and follicular phase with the VEC co-cultures. Future work will include the addition of progesterone and/or estrogen to reflect levels associated with specific stages of the menstrual cycle. Subsequent studies will allow for the evaluation of components of seminal fluid, over the counter vaginal applicants and ultimately provide a system to evaluate the potential toxicity of candidate compounds and probiotics.The goal of the designed studies was two-fold. The first experiments were completed to establish the potential of the VEC culture system and to create data sets that showed the reproducibility and consistency of VMB colonization from cryopreserved clinical material. The second phase of the study design was undertaken to establish the impact of selected CST representative VMBs upon HIV-1 replication in the refined VEC co-culture models. The resulting culture system also provided preliminary data for the impact of a single dose of TFV on HIV-1 replication and on the representative VMB community composition. Collectively, the data show that the culture system provided an effective environment to support colonization by the diverse and highly complex bacterial communities associated with both health and dysbiotic BV states. Controlled replicate cultures were established to study the VMB effect upon HIV-1 infection independent of host genetics, hormonal or environmental factors, yeast, the presence of other STI or genital pathogen or by the natural fluctuations of the VMB observed in recent cultivation-independent evaluations. The presented data represent results from studies in VEC from a single genetic background under highly controlled conditions but have been completed in limited fashion in two additional cultures with similar outcomes.5 cells were plated while 106 cells were plated in 24 well format transwells . Each culture was allowed to stabilize at 37\u00b0C, 5% CO2 for 16 h before the apical medium was removed to create the air-interface. Basal chambers were refed with antibiotic-free medium every other day as described Immortalized V19I VEC were cultured as described previously 3 in phosphate-buffered saline (PBS) after extensive washing to remove the bacterial medium. Inocula were either 50 \u00b5l for a 24 transwell or 10 \u00b5l for a 96 well transwell. Clinical samples were diluted in sterile PBS based on the total bacterial genomic titer in the clinical sample as determined by 16S rDNA PCR.Indicated bacterial strains were cultured as described To collect VMB, healthy women undergoing routine gynecological examinations were informed of the scope of the study and with their consent were sampled by gentle rubbing of a sterile calcium alginate swab on a mid vaginal wall location. Vaginal swabs were immediately placed into sterile PBS and transported to the processing lab on ice. All work was completed with care to protect the identity of the patient with full approval of the UTMB IRB. Vaginal samples were aliquoted for standard DNA extraction and cryopreservation in a sterile glycerol solution before storage at \u221280C. Molecular evaluations of the VMB composition were completed by PCR targetinBacterial viability was quantified by addition of 10 ul of the inoculum to 90 ul Mann-Ragosa Sharpe (MRS) broth followed by serial 10-fold dilution and culture at 37\u00b0C for 48 h. Bacterial growth in each dilution was assessed and allowed for estimation of the viable titers of bacteria that were supported by this broth culture.Collection of VMB samples and creation of MDM populations from venous blood collected from health volunteers was complete with the full approval of the University of Texas Medical Branch's institutional review board. Only adult subjects were enrolled in the study and provided written informed consent prior to collection of materials.SX-1 a chimeric M-tropic virus (R5) encoding the majority of the HIV-1JRFL envelope protein in an HIV-1NL4-3 backbone was diluted to create an MOI of 1 relative to the susceptible cells in the co-culture HIV-1 was added to multilayer cultures 16 h after colonization by the indicated bacterial strains or VMB communities. A titered stock of HIV-1For histology and immunolabeling studies, multilayers were fixed in 2% formaldehyde for 10 minutes at 4\u00b0C, then washed with PBS. Wells were then incubated with X-Gal buffer L. crispatus or the indicated VMBs Click here for additional data file."}
+{"text": "Basal ganglia circuits in Parkinson\u2019s disease constitute a prominent example of neural system of coupled inhibitory and excitatory neurons, which exhibit synchronous activity . The phaThe conductance-based network models of subthalamo-pallidal circuitry of basal ganglia have being shown to reproduce the intermittent temporal patterns of phase-locking observed in experiments with high fidelity . We starWe used geometric dynamical systems and singular perturbation methods to reduce the full model to a simpler set of equations. Mathematical analysis was completed using three slow variables with two different time scales. Intermittently synchronous oscillations are generated by overlapped spiking which crucially depend on the geometry of slow phase plane and the interplay between slow variables as well as the strength of synapses. Two slow variables are responsible for the generation of out-of-phase stable solution and the other slower variable for irregular and intermittent activity pattern. The results of analysis can be traced to particular values of biophysical parameters , which are known to be impacted in Parkinson\u2019s disease."}
+{"text": "Allergen Specific Immunotherapy (SIT) for respiratory allergic diseases is able to significantly improve symptoms as well as reduce the need for symptomatic medication, but SIT also has the capacity for long-term clinical effects and plays a protective role against the development of further allergies and symptoms. The treatment acts on basic immunological mechanisms, and has the potential to change the pathological allergic immune response. In this paper we discuss some of the most important achievements in the documentation of the benefits of immunotherapy, over the last 2 decades, which have marked a period of extensive research on the clinical effects and immunological background of the mechanisms involved. The outcome of immunotherapy is described as different levels of benefit from early reduction in symptoms over progressive clinical effects during treatment to long-term effects after discontinuation of the treatment and prevention of asthma. The efficacy of SIT increases the longer it is continued and immunological changes lead to potential long-term benefits. SIT alone and not the symptomatic treatment nor other avoidance measures has so far been documented as the therapy with long-term or preventive potential. The allergic condition is driven by a subset of T-helper lymphocytes (Th2), which are characterised by the production of cytokines like IL-4, and IL-5. Immunological changes following SIT lead to potential curative effects. One mechanism whereby immunotherapy suppresses the allergic response is through increased production of IgG4 antibodies. Induction of specific IgG4 is able to influence the allergic response in different ways and is related to immunological effector mechanisms, also responsible for the reduced late phase hyperreactivity and ongoing allergic inflammation. SIT is the only treatment which interferes with the basic pathophysiological mechanisms of the allergic disease, thereby creating the potential for changes in the long-term prognosis of respiratory allergy. SIT should not only be recognised as first-line therapeutic treatment for allergic rhinoconjunctivitis but also as secondary preventive treatment for respiratory allergic diseases. Allergy is a systemic disease with a local response following allergen exposure. Rhinitis, asthma and Bronchial Hyperresponsiveness (BHR) are closely related and a systemic pathway, involving the bloodstream and bone marrow, contributing to the cross-talk between the upper and lower airways .The close relationship between allergic rhinitis and allergic asthma and the co-morbidity of upper and lower airway diseases has been carefully described elsewhere -4. In asAllergen specific immunotherapy (SIT) produces a decrease in symptoms and in the need for medication, but SIT also has the capacity for long-term clinical effects and for the prevention of the development of further allergies and symptoms. The treatment acts on the basic immunological mechanisms responsible for causing symptoms and has the potential to change the immune response and the pathological pathways responsible for the allergic symptoms . SIT is The year 2011 marked the 100th anniversary of the first publication on SIT by Leonard Noon . Since tThis paper highlights and examines some of the most important developments and information regarding the potential benefits of SIT achieved over the last 10-20 years - a period marked by much clinical activity, explorative as well as confirmative studies on SIT and the publication of international guidelines to support clinical practice ,20-22. ADifferent immunological effector cells are responsible for allergic inflammation -25. The The benefits and the clinical effects of SIT should be evaluated and analysed in terms of the immunological changes that follow the treatment. SIT acts by influencing basic immunological mechanisms resultinStudies have shown that symptomatic improvement correlates with reductions in eosinophils and IL-5 expression in the nasal mucosa during tDifferent IgG4 related immunological effects acting as a competitive response to that of specific IgE, result in clinical effects as reduction in symptoms and the need for medication, and a reduced inflammatory response to allergen presentation Figure .\u2022 Inhibition of mediator release could be caused by direct inhibition of the allergen-IgE interaction or through co-aggregation of the inhibitory Fc\u03b3RIIB and Fc\u03b3RI \u2022 SIT-induced IgG inhibited histamine release from basophils \u2022 Specific IgG antibodies acts by a \"dilution\" of the antigen exposure to specific IgE antibodies by binding to epitopes on the surface of the allergen, and thereby directly reducing the antigen presenting capacity by the relevant cell types \u2022 IgE-facilitated antigen presentation results in the activation and subsequent proliferation of allergen-specific T-cells at extremely low concentrations of allergen and activates Th2 cells which then produce important cytokines inducing further IgE synthesis \u2022 Immunotherapy-induced specific IgG antibodies can also affect and inhibit IgE- facilitated antigen presentation (FAP) and activation of Th2-cells, and thereby significantly reduce the allergic response ,45,48There is a time dependence in serum inhibitory activity of Facilitated Antigen Binding which seem to be consistent with the continued increase in clinical benefits following prolonged treatment with immunotherapy The first priority for respiratory allergic patients is usually the treatment of allergic symptoms as these appear as a consequence of allergen exposure. Different symptomatic drugs have the capacity to reduce the symptoms either on a rescue basis or when taken daily ,22. FromTogether with the significant reduction in allergic symptoms, several studies on SIT have documented a significant reduction in the need for symptomatic drugs on short term as well as during long-term treatment -54 even The World Allergy Organization has proposed a model for the standardisation of clinical trials of allergen specific immunotherapy for respiratory allergic symptoms . They suDifferent methods for combining symptom score and intake of rescue medication have been described ,67 but tIn this paper the effects of immunotherapy are categorised into the following levels of benefit whose immunological characteristics are explained above.\u2022 Early effect - reduction in symptoms/need for medication\u2022 Progressive effect - further reduction in symptoms/need for medication and reduction in hyperresponsiveness/late-phase response\u2022 Persistent effect - long-term reduced symptoms/need for medication long-term reduced hyperresponsiveness/late phase response after end of treatment period\u2022 Preventive effect - prevention of new sensitivities and progression of disease (rhinitis into asthma)\u2022 Immunological effect - immune modulation and tolerance - immunological changes that lead to a potentially curative effectThese correspond to the different levels of clinical effects which can be claimed for the registration of products for SIT as defined by the EMA children treated for 3 years with pollen immunotherapy (grass and/or birch) showed a consistent reduction in their symptom score rated by Visual Analogue Score (VAS) and by objective measures of conjunctival sensitivity (CPT). The children were tested respectively two and seven years after discontinuation of treatment ,90. The th birthday. Only 22% of the placebo treated children were free of asthma compared to 72% of the SIT treated children. The children were initially treated for four years with individual mixtures of allergens and the clinical effect as well as the potential prevention of asthmatic symptoms was dose related - the strongest being in children who received the highest doses of allergen [The Preventive Allergy Treatment study (PAT) was the allergen . In a twallergen .An early study by Johnstone showed that SCIT could reduce the risk of development of new allergic sensitisations as they found that no children during a 4 year course of high dose immunotherapy developed new IgE sensitisations compared to 25% of those in the control group . In the In one study, monosensitised children treated for three years with SIT compared to non-treated controls, showed a significant reduction in the development of new allergic sensitivities although none of the control patients remained free of the development of one or more new sensitisations . In the A very large follow-up study including more than 7182 monosensitised patients with different allergies and with allergic rhinitis and/or asthma were treated with SCIT for four years and compared to 1214 open controls treated only with symptomatic drugs. Sixty-eight percent of controls had developed one or more new sensitisations compared to 27% in immunotherapy treated patients and at a follow-up visit three years after termination of the treatment period, 75% of controls had developed new sensitizations compared to 25% in the active group . In a grp < 0.01). The significant improvements in allergic rhinoconjunctivitis symptom and medications scores as well as in the conjunctival sensitivity to birch and grass observed to persist at five-year follow-up, also persisted at the ten-year follow-up. As at the five-year follow-up, fewer actively treated subjects had developed asthma at the ten-year follow-up (odds ratio 2.5 (1.1-5.9) [p = 0.0075) and the odds ratio for not developing asthma was 4.6 ) in favour of SIT over the ten-year period. The study also showed that bronchial hyperresponsiveness at baseline was associated with an increased risk of later development of asthma (p = 0.002) and in children with seasonal allergic rhinitis evaluation of BHR should be recommended in the indication for immunotherapy.The long term asthma preventive potential of SIT was first described in a tree pollen immunotherapy study in which 36 adult patients received immunotherapy. During the long-term six year follow-up period after the termination of treatment with standardised tree pollen allergen extracts for two years, none of the patients initially suffering from rhinitis alone had developed asthma during the eight-year study period . The fiv1.1-5.9) . After tNeither symptomatic treatment nor different avoidance measures for allergy have so far documented the long-term or preventive benefits. Various strategies for the prevention of the development of allergic rhinoconjunctivitis and asthma have been proposed including allergen avoidance, pharmacological treatment (antihistamines and steroids) and SIT. Allergen avoidance is hardly applicable for many allergen sources and only a limited reduction in exposure can be achieved by modification of life habits . SecondaA potential tertiary preventive measure for worsening of asthma through early treatment with inhaled steroids in children with episodic wheezing has been suggested, but recent studies on the capacity of inhaled steroid therapy during early symptomatic episodes of wheezing to delay progression to persistent disease have failed to show any preventive potential ,110.Allergen specific immunotherapy is the only treatment that interferes with the basic pathophysiological mechanisms of the allergic disease and thereby carries the potential for changes in the long-term prognosis of respiratory allergy. SIT should be recognised not only as first-line therapeutic treatment for allergic rhinoconjunctivitis but also as secondary preventive treatment for respiratory allergic diseases. Together with the long term clinical experience available, SIT is an important treatment for prevention of asthma in patients with allergic rhinitis and it makes asthma control easier to accomplish. Immunotherapy seems to reduce the development of new allergic sensitivities as measured by skin prick test as well as specific IgE measurements, and long term follow-up on immunotherapy studies demonstrate that specific immunotherapy with modern pharmaceutically standardised allergen extracts shows persistent long term effect on clinical symptoms after termination of treatment and long-term, preventive effect on later development of asthma in children with seasonal rhinoconjunctivitis. These are important added benefits to the immediate clinical effect which is comparable to other treatment options and has shown to progressively improve during treatment periods. It is so far the only treatment for allergic diseases which has shown to be able to prevent worsening of disease and development of asthma. In these years, a number of large ongoing clinical studies with the primary purpose of establishing the EMA guideline documentation needed for registration of pharmaceutical products will certainly add further to our basic knowledge about the potential immunological modifications and long-term options. This is of great importance for the optimization of the future treatment of the increasing number of patients suffering from respiratory allergic diseases.SIT: Allergen Specific Immunotherapy; SCIT: Subcutaneous Immunotherapy; SLIT: Sublingual Immunotherapy; BHR: Bronchial Hyperresponsiveness; CPT: Conjunctival Provocation Test; VAS: Visual Analogue Scale.The authors declare that they have no competing interests.LJ wrote the manuscript. MB revised and added to the manuscript. UW revised the manuscript. All authors read and approved the final manuscript."}
+{"text": "The eye is a unique and necessary organ that is constantly exposed to the environment. In an immune-privileged environment such as the eye, a delicate balance exists between immune responses that limit damage and those responses that can result in irreversible damage. Ocular inflammation and infection are therefore potentially blinding events. Efforts to analyze the delicate balance between helpful and harmful immune responses in the eye have involved a variety of animal studies and models which analyze not only the specific etiologic agents of infection and the contributions of their products in inflammation and vision loss but also the underlying host factors responsible for those responses. Other studies have probed the development of novel therapeutics based on endogenous host factors as well as pathogen-specific targets and have tested these with routinely used therapeutics in improved regimens in an effort to improve visual outcome. The ultimate goal is to provide patients with the appropriate treatment that rescues vision regardless of disease.ex vivo model of herpes simplex virus 1 (HSV1) corneal infection to demonstrate that neutrophils are important in T-cell recruitment and control of HSV1 replication via synthesis of IP-10. The following three papers address epidemiological issues with studies on microbiological profiles and treatment outcomes of scleritis, chronic postoperative endophthalmitis, and fungal ocular infections. The key message of these studies is the importance of early identification and determination of drug susceptibility and proper therapeutic and/or surgical intervention in saving useful vision. The seventh and eight papers discuss the use of corticosteroid therapy in endophthalmitis and other types of ocular inflammation. The seventh paper reviews the visual outcome of cases of filtering bleb-associated endophthalmitis treated with or without intravitreal dexamethasone, while the eighth paper reviews the clinical use of loteprednol etabonate in a variety of ocular inflammatory conditions. The final paper of the special issue discusses hyperactivation of the renin-angiotensin system in inflammation and retinal neural dysfunction. The authors suggest that inhibition of this system may be a novel therapeutic approach to preventing or treating inflammation-based ocular diseases.The scope of this special issue involves a wide variety of areas in ocular infection and inflammation highlighting recent developments in the epidemiology, pathogenesis, and treatment of various types of ocular infections and inflammation. The first paper of this special issue reviews the challenges of cataract surgery and visual rehabilitation in patients with uveitis. This discussion also includes management pearls in combating complications that arise in this particular group of patients. The second and third papers continue the theme of inflammation, analyzing chemotactic cytokine production in the cornea. The second paper reports a time course effect in the synthesis of IL-8 and MCP by stromal cells stimulated with LPS. The third paper uses an This special issue includes the following papers: \u201cCataract surgery in uveitis,\u201d \u201cIL-8 and MCP gene expression and production by LPS-stimulated human corneal stromal cells,\u201d \u201cResident corneal cells communicate with neutrophils leading to the production of IP-10 during the primary inflammatory response to HSV-1 infection,\u201d \u201cClinico-microbiological profile and treatment outcome of infectious scleritis: experience from a tertiary eye care center of India,\u201d \u201cChronic postoperative endophthalmitis: a review of clinical characteristics, microbiology, treatment strategies, and outcomes,\u201d \u201cSupport of the laboratory in the diagnosis of fungal ocular infections,\u201d \u201cIntravitreal dexamethasone in the management of delayed-onset bleb-associated endophthalmitis,\u201d \u201cAdvances in corticosteroid therapy for ocular inflammation: loteprednol etabonate,\u201d and \u201cRenin-angiotensin system hyperactivation can induce inflammation and retinal neural dysfunction.\u201dMichelle CalleganMichelle CalleganMeredith Gregory-KsanderMeredith Gregory-KsanderMark WillcoxMark WillcoxSusan LightmanSusan Lightman"}
+{"text": "Hepatitis D virus (HDV) infections remain a worldwide health problem. However, the clinical impact of these infections is often underestimated, and therapeutic options for the infections are often unexploited. Gulsun et al. have addressed both these issues in the paper \"Treatment of chronic hepatitis D; a 9 years retrospective analysis\" published in this issue of Hepatitis Monthly.The present study was conducted in Diyarbakir, Eastern Turkey, where chronic hepatitis D is one of the most prevalent liver diseases. HDV causes liver failure due to cirrhosis and hepatocellular carcinoma in a significant proportion of hepatitis B surface antigen (HBsAg) carriers. Over 8 years, The authors enrolled 46 patients with florid hepatitis D. These patients showed the typical features of HDV infections; most of them were young adult men with concomitant hepatitis B virus (HBV) infections that were positive for the antibody to hepatitis B antigen and not for the HBe antigen.Treatment of hepatitis D is a formidable problem because HDV totally depends on the replication machinery of the hepatocytes for its replication and has no specific transcriptases that can be targeted by antivirals. Efforts to target the concomitant HBV infection were in vain, and neither lamivudine nor adefovir could ameliorate hepatitis D or abrogate the underlying HBV infection. The authors used the only currently available therapeutic agent, pegylated interferon-alpha (PEG-IFN-\u03b1), for treating patients. The use of INFs for treating hepatitis D was introduced long back in 1980 after considering the efficacy of cytokines in treating hepatitis B. INF use is still based on the experiences from common practice rather than conclusive evidence from clinical trials, and many questions regarding the use of INFs in the management of HDV patients remain unanswered; some of these were answered in the study by Gulsun.These authors determined whether long-term therapy is more efficacious than 1-year therapy. Their results showed that both long-term and 1-year therapy had the same outcomes; this finding is similar to that of another Turkish study [Importantly, in this study, PEG-INF-\u03b1 treatment was more successful than in most previous studies; it achieved a sustained virologic response (SVR) rate of 41%. The good therapeutic outcome obtained with PEG-IFN-\u03b1-2a in this study may be attributable to the relatively young age of the patients because young age is correlated with less fibrosis, and in previous studies, fibrosis has been shown to reduce the efficacy of IFN-\u03b1 treatment. The age-specific analysis has indeed shown that the decline of viremia under therapy was more significant and the decrease of the Knodell score was higher in patients younger than 35 than in those older than 35, and in keeping with a better liver function in less advanced disease, side effects were minor, and only 5 patients required episodic reductions of therapy. Among the other studies that reported outcomes of PEGIFN treatment, a French study [Though the data obtained by Gulsun et al. are encouraging, the clinical significance of the SVR rates after IFN treatment achieved in this and other studies is unclear. Hepatitis D is sustained by a double viral infection, which makes the evaluation of therapeutic endpoints more complex. The long-term significance of achieving virologic and clinical therapeutic targets other than absence of HBsAg has not been assessed so far. The viral titers during infections caused by HDV are much lower than those during infections caused by HBV and hepatitis C virus. The infectivity of HDV is very high and titers of the virus well below the detectability threshold of current assays might recapitulate cell to cell transmission of HDV within the liver and reactivate infection if the HBsAg is around. Thus, a long-term follow-up study of our patients is needed to clearly establish the therapeutic role of PEG-IFN in treating chronic hepatitis D."}
+{"text": "Proper indications for second-look surgery in patients with colorectal cancer have always been a controversial subject. The surgical literature suggests benefit in a reoperation, where a limited extent of cancer is discovered and then resected with negative margins. However, patients are often subjected to a negative exploratory laparotomy or an intervention that is unable to achieve an R-0 resection; in these circumstances, little or no benefit occurs. Unfortunately, an unsuccessful repeat intervention may place the patient in a worse condition, especially if morbidity occurs. This paper seeks to identify the clinical parameters of a primary colorectal cancer and a followup plan that are associated with cancer recurrence that can be definitively addressed by the second look surgery. New surgical technologies, including cytoreductive surgery with peritonectomy and perioperative intraperitoneal chemotherapy with hyperthermia, are suggested for use in this group of patients. This new management strategy used in patients with local-regional recurrence may result in a high proportion of patients converted from a second-look positive patient to a long-term survivor. Second-look surgery in colorectal cancer patients who develop progression after the surgical removal of the primary malignancy has been extensively explored in the surgical literature \u20135. IndicThese paper constitute an important part of the evolution of colorectal cancer surgery. Griffin and colleagues (reviewing the Wangensteen effort) and Minton and colleagues insist, in their summary statements, that symptomatic and asymptomatic second-look surgery in patients with colorectal cancer must be considered as an important option in patient management and constitutes the major rationale for meticulous follow-up management strategies \u20138. UnforDespite much discussion and multiple publications, the modern revisions of the indications for second-look surgery have never been forthcoming. Wangensteen and colleagues suggested reoperation based on lymph node positivity at the time of primary colon or rectal resection. Minton sought to more effectively select his patients for second look by using a progressively rising CEA blood test. However, patients operated on for symptoms (rather than progressively rising CEA blood tests) had the same benefits at second-look surgery. In both of these clinical experiments, some patients were found to be disease-free (negative second look) and suffered from the morbidity and even an occasional mortality associated with repeat laparotomy. Also, in too many patients, the disease had progressed to an unresectable state. The indications for second look did not select out those patients most likely to benefit from reoperative surgery. This paper seeks to identify the clinical parameters and follow-up strategies of a primary colorectal cancer that are associated with a pattern of treatment failure that can be definitively addressed with a second-look surgery. We identify the clinical features of the primary disease process that will allow the cancer surgeon to most knowledgeably select patients for a successful second-look surgery. Also, the use of tumor markers and CT in follow-up are integrated into follow-up regimens. In addition, we identify more effective treatment options for colorectal rectal cancer eradication in the operating room at the time of reoperation. The use of cytoreductive surgery with peritonectomy combined with perioperative hyperthermic chemotherapy are presented as a new and more effective combined management plan to be added to the reoperative surgery. Documentation of improved survival of a subset of patients is the goal of this revised approach for the surgical evolution of second-look surgery in colon and rectal cancer patients.In 1948, Wangensteen at the University of Minnesota initiated a new plan for improved management of intra-abdominal cancer [These favorable data regarding patients \u201cconverted\u201d from a positive second look to long-term survival were offset, at least in part, by the impact this management plan had on the entire group of patients. Extensive surgical procedures to remove recurrent disease led to an operative mortality of 17% in the patients who had a positive second look. Also, in the patients with the symptomatic second look, there was a 15% operative mortality. In interpreting these formidable mortality statistics, it must be pointed out that this high operative mortality occurred in patients identified as having progressive disease. These patients would presumably have gone on to die of this disease in the near future. However, their lives were cut short as a result of the operative mortality. Perhaps most damaging to the concept of a planned second look were the two patients (3.2%) who died postoperatively after a negative exploration. These patients dying with a negative second look may have been long-term survivors in the absence of this aggressive surgical treatment strategy. There have been efforts to refine the indications for second-look surgery. In the mid-1970s, a collaborative effort of the Peter Bent Brigham Hospital and the Mallory Gastrointestinal Laboratory searched for clinical relationships between the carcinoembryonic antigen (CEA) and the natural history of surgically treated colorectal cancer. Sugarbaker and colleagues determined that serial carcinoembryonic antigen assays determined at 3 monthly intervals after a colon or rectal cancer resection would detect occult recurrent disease approximately 6 months prior to clinical signs and symptoms . These rAttiyeh and Sterns collected data on 32 patients who underwent second-look surgery for \u201ca significant CEA elevation\u201d following a curative resection for adenocarcinoma of the large bowel . Not surPerhaps the most reliable data regarding the possible benefits of second-look surgery in colorectal cancer patients comes from the prospective evaluation of this strategy reported in 1985 . Minton As a result of this and other efforts to use postoperative monitoring of CEA in patients at high risk for recurrence of colon and rectal cancer, a standard of practice has evolved in patients surgically treated for colorectal cancer. If a progressive rise in the CEA blood test occurs, patients should be considered for reoperation. Radiologic tests should be performed to show that the elevated CEA determination occurs in the absence of systemic disease or unresectable disease in the abdomen or pelvis. Minton and colleagues should be credited with establishing a strong rationale for meticulous follow-up of colorectal cancer patients and a reasonable likelihood of benefit from second-look surgery.Goldberg and coworkers pooled data in a prospective follow-up of 1247 patients with resected stage 2 or stage 3 colon cancer . 548 patThere can be no doubt that the second-look approach initiated by Wangensteen established a new paradigm for a reoperative approach to patients with colorectal cancer. Also, the data on sites of recurrence carefully collected by this group has had a profound effect upon the surgical technology used for primary colorectal cancer resection. Gunderson and Sosin reported the anatomic sites of surgical treatment failure that were identified at the time of reoperation in 74 patients . They reIn a historically important paper that had an influence on surgical technology for colorectal cancer resection, Lofgren et al. examined the pattern of surgical treatment failure in a special group of 47 patients. These patients had a local-regional recurrent disease but were lymph node negative within the primary cancer specimen . From thAs shown in Sugarbaker and coworkers suggested that peritoneal carcinomatosis and local failure are caused by the same mechanism . SurgicaHowever, not all the cancer cells disseminated from the primary malignancy must implant locally. Some may gain access to the free peritoneal cavity. Cancer cells within intraperitoneal blood clot will later be organized as recurrences within abdominal adhesions. Free cancer cells will move along with peritoneal fluid to distant sites such as the pelvis, beneath the right hemidiaphragm, or in the right and left paracolic sulcus. With small amounts of intraperitoneal fluid, peritoneal seeding proximal to the resection site is expected. With larger amounts of ascites fluid or with mucinous cancer cells, distant spread of carcinomatosis will occur. Cancer cells may enter the portal venous system and cause liver metastases. However, cancer cells present within venous blood spilled at the time of primary cancer resection may find their way into the free peritoneal cavity. These free cancer cells may cause resection site recurrence or carcinomatosis.Second-look surgery has a much greater likelihood of success now than in the past. The knowledgeable use of systemic chemotherapy has reduced the proportion of patients who succumb to progression of systemic micrometastatic disease. The surgical technology for liver resection of colorectal metastases has evolved over the last two decades; liver secondaries are resected if the patient can be made clinically disease-free by liver surgery with minimal morbidity and almost no mortality . Also, sExtended lymph node dissections so that all possible sites for lymphatic dissemination from colon or rectal cancer are now advocated . AlthougThe new concept in colorectal cancer resection demands complete clearance of the primary malignancy and total containment of the malignant process during the colon or rectal cancer resection . UnfortuOne requirement of colorectal cancer surgery currently not standard of practice should be added to primary cancer resection in order to thoroughly evaluate patients for this revised second-look approach. A cytology of the peritoneal surface of the primary tumor should occur prior to a colorectal cancer resection. Also, aspiration of fluid for a cytological study of the space beneath the right lobe of the liver and of the pelvis should occur. Finally, a cytological study of the whole abdomen following the completion of the colorectal cancer resection is important. Patients with cytologically positive colon or rectal cancer are at high risk for death from progressive disease . These pWith a group of colorectal cancer patients identified who are at high risk for local-regional recurrence and with a new and more effective liver resection and peritoneal surface treatment strategies available, a consistent application of second-look surgery should be clinically tested. This comprehensive treatment plan would include three groups of patients: (1) patients at high risk for recurrence by surgical and pathologic findings, (2) patients in the follow-up with symptoms or signs that suggest disease progression, and (3) patients that show a progressive rise in CEA. However, in order to keep the morbidity and mortality with this reoperative surgery at a minimum, ineligibility requirements for this group of patients should be enumerated. The final ineligibility requirement listed in There is some data regarding a timely second-look surgery in colorectal cancer patients at high risk for local-regional recurrence . Elias aPrior to the second-look surgery, the patients would have radiologic tests to rule out systemic disease. CT scan of chest, abdomen, and pelvis is suggested. Also, a PET scan is necessary. A colonoscopy to examine the entire colon looking for second primary tumors and suture line recurrence is a requirement. In patients who have a positive second look, there will be cytoreductive surgery which would involve the necessary peritonectomy procedures and visceral resections . FollowiThe evaluation of this clinical project must be prospective and thorough. The primary endpoint for the study, which will require approximately a 10-year follow-up, is the percent of patients converted from a positive second look to long-term survival. A secondary endpoint would be the percentage of patients who have a positive second look as compared to those who have a negative second look. A third endpoint is a comprehensive morbidity and mortality assessment of both positive and negative second-look procedures. At the end of data accumulation, a summary of the credits and debits of this approach using the revised second-look surgery will become available .A large proportion of health care costs occur within the last 6 months of life. For gastrointestinal cancer, recurrence within the abdomen and pelvis allowed to progress to intestinal obstruction, fistula, or abscess brings about a clinical situation which requires extensive and expensive healthcare. Clear guidelines for reoperative colorectal cancer surgery to prevent this devastating clinical situation are not available. Can a reoperative surgical procedure add a reasonable length of good-quality life? Which patients will profit from a surgical intervention and which patients should be told that further surgery is not an option? If a second-or third-look surgical intervention is beneficial when should it be performed? Early, before symptoms occur, or later after patients have lost gastrointestinal function? If the revised guidelines suggested in this paper for second-look surgery are placed into practice, can we prevent local-regional failure in a significant proportion of patients and thereby significantly reduce health care costs? This group of patients at high risk for loss of local control may benefit in terms of quality of life and improved survival by proactive early intervention rather than palliative surgery after symptoms of local-regional disease has occurred.A new management plan for patients at high risk for intraabdominal colorectal cancer recurrence is suggested. There are three criteria by which to select patients for a second look: (1) a high risk of local-regional recurrence of cancer, (2) a rising CEA blood test, or (3) symptoms and signs of disease recurrence. Accumulated data shows that early intervention results in a high likelihood of being converted from a second-look positive group to a long-term survivor. New cytoreductive surgical techniques including peritonectomy and HIPEC will be used eradicate abdominal and pelvic recurrence. Also, improved techniques for management of limited liver metastases in combination with peritoneal carcinomatosis are appropriate. From this literature review, the credits and debits for a revised second-look approach to colorectal cancer were formulated. The major credit will be the proportion of patients converted from a positive second look to a long-term survivor. The debits will be morbidity and mortality of the second look for all patients and the cost of the interventions. Important will be morbidity and mortality of those patients who have a negative second look. A projected incidence of positive versus negative second look is 50%. A projected survival of patients with a positive second look converted to a disease-free status is 50% at five years."}
+{"text": "Graves\u2019 disease (GD) is the paradigm of an anti-receptor autoimmune disease with agonistic auto-antibodies against the thyrotropin receptor (TSHR) being the underlying pathogenic mechanism. TSHR belongs to the category of tissue-restricted antigens (TRAs), which are expressed by medullary thymic epithelial cells (mTECs) and thereby induce central T cell tolerance. In order to understand the association between TSHR gene polymorphisms and GD we tested the hypothesis that TSHR gene variants affect susceptibility to GD by influencing levels of TSHR transcription in the thymus. The results indicate that thymic glands from normal children homozygous for the rs179247 predisposing allele of TSHR had significantly fewer TSHR mRNA transcripts than carriers of the protective allele. In addition, in heterozygous, the TSHR predisposing allele was expressed at a lower level than the protective one as demonstrated by Allele Specific Transcript Quantification. The effect of TSHR SNP rs179247 was thymus-specific and not observed in thyroid glands. These results constitute first evidence for the involvement of central tolerance in the loss of tolerance to TSHR in GD and underscore the concept that variable expression levels of major target autoantigens in the thymus influence the predisposition to autoimmunity presumably by changing the threshold of tolerance."}
+{"text": "Anolis sagrei), Asian glass lizards (Dopasia gracilis), green anoles (Anolis carolinensis), green iguanas (Iguana iguana), and a central bearded dragon (Pogona vitticeps). Purulent to ulcerative-necrotizing dermatitis and hyperkeratosis were diagnosed in pathological examinations. All animals tested positive for the presence of ranavirus by PCR and a part of the major capsid protein (MCP) gene of each virus was sequenced. Three different ranaviruses were isolated in cell culture. The analyzed portions of the MCP gene from each of the five different viruses detected were distinct from one another and were 98.4-100% identical to the corresponding portion of the frog virus 3 (FV3) genome. This is the first description of ranavirus infections in these five lizard species. The similarity in the pathological lesions observed in these different cases indicates that ranaviral infection may be an important differential diagnosis for skin lesions in lizards.Ranaviral disease in amphibians has been studied intensely during the last decade, as associated mass-mortality events are considered to be a global threat to wild animal populations. Several studies have also included other susceptible ectothermic vertebrates (fish and reptiles), but only very few cases of ranavirus infections in lizards have been previously detected. In this study, we focused on clinically suspicious lizards and tested these animals for the presence of ranaviruses. Virological screening of samples from lizards with increased mortality and skin lesions over a course of four years led to the detection of ranaviral infections in seven different groups. Affected species were: brown anoles ( Iridoviridae) are increasingly important pathogens in conservation and medicine of ectothermic vertebrates . It has been demonstrated that these viruses have caused numerous mass mortality events in various wild and captive amphibian species around the world, reviewed in , the type species of the genus ranavirus. The sequence from the isolates from the brown anoles also showed the highest identity values (99.6%) to the corresponding nucleotides of FV3. Comparing amino acid (aa) sequences, both anole ranaviruses were 100% identical to FV3. The ranavirus detected in the green iguana showed 100% identity to corresponding nucleotide sequences from fish ranaviruses (European sheatfish virus (ESV) [GenBank:JQ724856] and European catfish virus (ECV) [GenBank:FJ358608]). Obtained nucleotide sequences from the central bearded dragon were 100% identical to sequences from ranaviruses detected in different tortoises from Germany (= isolate from Testudo marginata (CU60/09), Testudo hermanni (5187/07) and Testudo kleinmanni (882/96) .Sequencing of the obtained 500\u00a0bp portion of the MCP gene demonstrated that the three isolates from the brown anoles (both from 2008 and the isolate from 2011) were identical to one another, but that each of the ranaviruses detected in the five different lizard species were distinct from one another . Skin lesions such as purulent to ulcerative-necrotizing dermatitis and hyperkeratosis were found in association with ranaviral infection in all cases.Five different ranaviruses were detected in five different lizard species or dermatomycosis are common findings in microbiological examinations. Some primary pathogens have also been described: Chrysosporium anamorph of Nannizziopsis vriesii (CANV) is the etiologic agent of an emerging deep fungal dermatitis (\u201cyellow fungus disease\u201d) in bearded dragons [Devrisea agamarum is frequently isolated from spiny tailed lizards (Uromastyx spp.) with dermatitis and cheylitis [Various infectious and non-infectious agents can cause skin lesions in lizards. In captive reptiles, deficiencies in husbandry can provoke skin diseases or are often a predisposing factor. Different parasites or neoplasms can also affect the skin. Secondary infections with bacteria seem to be caused by herpesviruses; a distinct herpesvirus has also been detected in papillomas of green lizards (Lacerta viridis). Poxviruses have been found repeatedly in association with skin lesion in crocodilians and pox-like viruses have also been detected sporadically in other reptiles, reviewed in [Lacerta viridis) with wart-like skin lesions: herpes-like, reo-like and a papilloma-like virus [Chlamydosaurus kingii) with pox-like skin lesions, as well as a green iguana (Iguana iguana) and a spiny tailed lizard (Uromastyx spp.) with hyperkeratosis) [Iridoviridae).A number of viruses have been detected in connection with skin alterations in reptiles: fibropapillomatosis in sea turtles and grey patch disease in green turtle hatchlings ,37 have In European amphibians, acute ranavirus infection has been described in association with systemic haemorrhages, whereas chronic ranaviral disease has been characterized by skin ulcerations without gross internal lesions, reviewed in . Skin ulIt has been demonstrated previously that some ranaviruses are able to switch hosts between different chelonian families ,15 and tRana temporia) in the UK infected by a ranavirus, it has been hypothesized that the animals are adapting to the presence of ranavirus [Since all three identical ranaviruses from brown anoles (ASRV) detected in the years 2008 and 2011, as well as the slightly different ranavirus from a green anole (ACRV) clustered most closely to another American ranavirus (FV3), we speculate that these anoles brought the virus with them into Germany from the United States. A weakened immune system due to the stress of transport, dehydration and coinfections with endoparasites - as well as with additional viruses in some animals - may have favoured the clinical development of disease. By characterizing an MHC class I locus in different populations of common frogs (anavirus . It woulAt least one lizard species (Asian glass lizard) had been in contact with other reptilian and amphibian species prior to testing. Since ranaviruses are able to switch between hosts, it is possible that other confiscated species from this case were also infected. Unfortunately, no data about these animals is available.During the last decade, the reports of ranavirus infections in reptiles have markedly accelerated. The rising awareness of these viruses in chelonians as important infectious agents causing ulcerative-necrotizing stomatitis may have contributed to the high number of case reports in these species. The frequent detection of ranaviruses in lizards during this study could be related to the use of more sensitive diagnostic methods (PCR). In addition it may be surmised that the global trade of reptiles and amphibians in combination with the wide host range of ranaviruses has strengthened the emergence of the infection. This is of significant importance for wild and captive animals. Ranaviral disease should therefore be considered as a possible differential diagnosis for dermatitis in different species of lizards and newly imported animals should be quarantined.The authors declare that they have no competing interests.Anolis sagrei and isolated the viruses from the Anolis sagrei. She also wrote the corresponding parts of the paper. KOH carried out the pathological examination of the Dopasia gracilis and provided pictures. JW treated the Dopasia gracilis and the Iguana iguana and provided clinical data and pictures. HB treated the Anolis sagrei and the Anolis carolinensis, performed coprological examination, short pathological examination and provided clinical data and pictures. KM and PG treated the Pogona vitticeps and provided clinical data and pictures of the diseased animal. PZ carried out the pathological examination of the Pogona vitticeps and provided the histology picture. IB carried out the virological testing for the presence of AdV. BR treated the Anolis sagrei in northern Germany and provided clinical data. REM conceived of the study, participated in its design and coordination, advised ACS during her practical work and helped to draft the manuscript. All authors read and approved the final manuscript.ACS carried out the virological testing for the presence of ranaviruses (including sequencing) and drafted the manuscript. SB carried out the pathological examination of the"}
+{"text": "Neuroscientists are becoming increasingly interested in modeling brain functions however, capturing underlying biophysical mechanisms requires plausible, biologically realistic models at the cellular level. Moreover, the (often conflicting) demands of biological realism and computational tractability have to be accommodated. Recent publications highlight the interaction of astrocytes with multiple synapses: if we are to fully appreciate this dynamic and coordinated interplay between cells, then more research on bidirectional communication between astrocytes and neurons is required. For example, a better understanding of astrocyte-neuron coupling may lead to providing building blocks for studying the regulatory capability of astrocytic networks on a larger scale. This special topic presents nine papers which cover a range of issues from computational models of astrocyte-neuron interactions to the role of astrocytes in neurological disorders.In the paper by Gordleeva et al. the basi2+ change in astrocytes in response to neuronal activity is modeled using linear equations. Their paper suggests that glutamate release from astrocytes above certain intracellular Ca2+ concentrations provides a non-linear positive feedback signal to neurons. The threshold of focal ictal discharge (ID) generation is lowered when an excitatory feedback-loop between astrocytes and neurons is included. Simulations show that astrocytes can contribute to ID generation by directly affecting the excitatory/inhibitory balance of the neuronal network. Witcher and Ellis (In the paper by Wade et al. it is shnd Ellis highlighnd Ellis concludeIn short, while the papers in this special topic are representative of current thinking in the field, they also draw attention to the fact that research into astrocytes and their interaction with neurons is still very much in the embryo stage."}
+{"text": "The genesis of both theory of neural field modeling and forward solutions for neuroimaging modalities and empirical methods to obtain connectivity datasets necessary to simulate the human brain dynamics has lead to the development of a whole-brain simulator, built within a freely available neuroinformatics platform called the Virtual Brain (TVB) -3. TVB a"}
+{"text": "An accurate segmental myocardial blood flow (MBF) quantification can be performed by means of signal deconvolution techniques. The accuracy of MBF estimates relies on the precise identification of the tracer arrival time in the myocardium (tOnset). Voxelwise MBF quantification is likely to be more subject to such error than segmental MBF analysis due to the lower signal-to-noise ratio of myocardial signal intensity curves. Automated tOnset detection methods would be therefore warranted. The aim of this study was to assess the importance to of tOnset identification on voxelwise MBF quantification and to describe an automated algorithm to detect the optimal tOnset which minimizes the error in MBF estimates.Perfusion data were obtained from an hardware perfusion phantom and from patients during adenosine-induced hyperaemia (140\u00b5g/kg/min) using 0.075mmol/kg Gadobutrol injected at 4ml/minute followed by a 20 ml saline flush. A pre-bolus technique was used for quantification.Images were acquired on a Philips Achieva 3T (TX) system, equipped with a 32-channel cardiac phased array receiver coil with a saturation recovery gradient echo method .Data were analysed using a made-in-house software, which uses second derivative test followed by an iterative Fermi deconvolution which repeats the deconvolution for values of tOnset\u00b14 heart beats from the tOnset value obtained from derivative test to identify the optimal tOnset that minimize the error between the actual myocardial curve and the fitted curve obtained after deconvolution. The results of perfusion estimation with a visually selected tOnset and with an optimized tOnset were compared.Figure Figure Perfusion estimates based on DCE-CMR have many desirable characteristics including high sensitivity in identifying the tissue at risk, however MBF estimates are biased by many factors including the tracer arrival time into myocardium tissue, and therefore attempts to quantify MBF without using the tOnset may be premature.The authors acknowledge financial support from the Department of Health via the National Institute for Health Research (NIHR) comprehensive Biomedical Research Centre award to Guy's and St Thomas' NHS Foundation Trust in partnership with King's College London."}
+{"text": "Coronary angiography and the extent of coronary luminal stenosis has historically been the main factor used in guiding decisions regarding revascularisation in patients with stable coronary artery disease. More recently, revascularisation based on invasive fractional flow reserve (FFR) measurements has been shown to result in a significant benefit for event free survival. Cardiac magnetic resonance (CMR) perfusion imaging has been shown to be superior to nuclear perfusion imaging and has the potential to become the non-invasive test of choice.The MR-INFORM study is a prospective, multi-centre, randomized controlled, non-inferiority, outcome trial. It will compare the efficacy of the two investigative strategies for the management of patients with suspected coronary artery disease. Patients presenting with stable angina are randomized into two groups: The FFR-INFORMED and the MR-INFORMED group Figure .All patients undergo CMR perfusion scanning at 1.5T (various vendors) at baseline. The patients in the MR-INFORMED arm of the trial will have their subsequent management based on the results of the CMR scan. Those patients with significant ischaemia will have coronary angiography and revascularisation guided by the results of the MR scan i.e stenting in arteries that demonstrate ischaemia . All patients with non-significant ischaemia will have medical therapy optimized. The baseline scan in the FFR-INFORMED arm will remain blinded and the patient will go on to have coronary angiography with FFR measurement in those arteries with a stenosis of 40 - 99%. The revascularisation decision in this group will be based on an FFR<0.8 below which a stenosis is physiologically significant. All patients will have a cardiovascular risk assessment at baseline, 6 months and 12 months and their medical therapy is optimized.The principal hypothesis is that selecting patients with stable angina for revascularisation and optimal medical therapy (OMT) or OMT alone based on CMR myocardial perfusion is non-inferior to selecting patients based on routine coronary angiography and fractional flow reserve (FFR) in terms of subsequent major adverse cardiac events.The primary end-point will be the composite of major adverse cardiac events at one year, defined as death, myocardial infarction and repeat revascularisation table .In recruitment phase.The MR-INFORM trial will compare the role of MR perfusion with routine coronary angiography and fractional flow measurements for guiding the management of patients with stable angina and an intermediate to high likelihood of coronary artery disease. Noninferiority of MR perfusion imaging to the current invasive reference standard (FFR) would establish MR perfusion imaging as an attractive non-invasive alternative to current diagnostic pathways. The results will help to inform national and international guidelines on the investigation and management of coronary artery disease, and ultimately lead to improved patient care.Biomedical Research Centre (BRC), Bayer Schering Pharma."}
+{"text": "In computational molecular biology, the conformational analysis of a molecule refers to the identification of conformations - the clusters of molecular configurations sharing a large-scale geometric structure - and the description of conformation dynamics. These data help to describe the structures and functions of molecules which are relevant in biology. In applications such as computational drug design, they help to identify suitable compounds for disrupting processes involved in disease mechanisms. Today, many computational methods for conformational analysis are mesh-based: they involve discretizing configuration space using regular lattices, and simulating trajectories on energy landscapes. These methods suffer from the \u2018curse of dimensionality\u2019 in that the cost increases exponentially with the number of atoms in the molecule. Given that many important molecules in biology - such as proteins - have thousands of atoms, the curse of dimensionality severely limits the applicability of these methods. Finding an alternative approach to conformational analysis that does not suffer from the curse of dimensionality would enlarge the set of molecules and biological processes which may be studied using computational methods.We construct a mesh-free method using raOur findings demonstrate that one does not need meshes for conformational analysis. For the specific problem we study in our paper \u2013 that of finding conformations and computing conformation transition rates \u2013 our findings suggest that mesh-free methods may be just as accurate as mesh-based methods, while costing less computationally. Our findings emphasize the utility of using ideas from different mathematical fields when devising new methods to tackle computational challenges."}
+{"text": "Cardiovascular disease (CVD) is a major contributor to the burden of disease and the number one cause of death worldwide. From 1990 until today, more people have died from coronary heart disease than from any other cause. CVD is regularly treated with minimal or non-minimal-invasive off- or on-pump cardiothoracic surgery and interventions related to the outcome of the surgical procedures are regularly evaluated in clinical trials, but heterogeneity in outcome reporting hinders comparison of interventions and limits the ability of research synthesis. This problem is encountered by core outcome sets (COS) that should be measured and reported \u2013 as a minimum \u2013 in all clinical trials for a specific clinical field.We are developing a COS for clinical trials measuring the efficacy and effectiveness of pre-, intra- or postsurgical interventions in non-minimal-invasive off- or on-pump cardiothoracic surgery . Recommendations on COS development given by the Core Outcome Measures in Effectiveness Trials (COMET) Initiative and the Outcome Measures in Rheumatology (OMERACT) Initiative were followed. We will reach consensus on core domains in a 3-round eDelphi exercise involving adult patients in need or after cardiothoracic surgery, cardio-thoracic surgeons, anaesthesiologists, nursing staff and researchers with expertise in this field of research. We aim to agree on measurement instruments for each of the identified core domains subsequently.The eDelphi is currently being carried out. We will present identified core outcome domains at the COMET V Meeting.The proposed COS aims to provide methodological guidance in future cardiothoracic surgical clinical trials. This does not imply that primary outcomes should always and exclusively be those of the COS. However, to assure the comparability of results across trials the outcomes included in this COS should be considered for inclusion besides measuring trial-specific clinical endpoints."}
+{"text": "Injecting white noise currents has been shown to increase mean firing rate in several types of neuron. This speed up is generally attributed to the fact that depolarizing currents on the tails of the noise distribution push cells past spike threshold sooner than they would have otherwise. As part of a larger effort to understand the dynamic properties of rat subthalamic (STN) neurons, we have performed perforated patch recordings of these tonically active neurons in brain slices, exposing them to contiguous sequences of brief current pulses drawn from a Gaussian distribution. Pulsed noise disrupted firing pattern with no significant change in rate over a wide range of noise amplitudes, so long as the pulse durations were brief (<2 ms). With longer pulse durations, neurons increased their firing rate with noise, with greater increases for pulses of larger magnitude and longer duration. However, individual neurons displayed varying degrees of noise-induced speed up.We used phase resetting methods to understand the noise-induced changes in the mean and variance of the recorded interspike interval distributions. For each cell, a phase response curves (PRC) was derived by using linear interpolation to estimate the phase of the neuron between spikes, followed by a linear regression to estimate the sensitivity of the cell to input perturbations at each phase. We then compared Monte Carlo simulations of a one-dimensional phase model to predict the response patterns of individual neurons. Surprisingly, simulation results produced a good match to experimental mean and variances even at noise levels leading to autocorrelation histograms with no visible periodicity (CVs ~ 0.4).We then investigated simulations results in detail to understand the dynamic mechanism that underlies the noise-induced speed up in these neurons. Plots of the mean phase as a function of time revealed that the noise-induced phase advance occurred early in an interspike interval, well before trajectories approach the time of the next spike. This phase advance can be understood as \u2018noise-induced drift\u2019 in the Stratanovich interpretation of stochastic differential equations, with possible supralinear contributions for pulses of finite duration. Current research uses artificially constructed PRCs to examine how the increasing spread of the phase distribution during each intervals leads to an asymmetric sampling of the noise-induced drift, preventing the early noise-induced speed up from being canceled by an expected noise-induced slowing as the PRC approaches zero near the time of the next spike."}
+{"text": "Subthreshold oscillations are observed in a wide variety of neurons in the nervous system . TheyNeuronal intrinsic subthreshold oscillations and dynamic synapses underlie several computational properties both at the single neuron and the network levels. Traditionally, intrinsic oscillations and dynamic synapses have been studied separately and their interaction has attracted almost no attention. In this work, we use a conductance-based neuron model and a dynamic synapse to investigate how intrinsic subthreshold oscillations and the short-term plasticity of a depressing synapse act together to shape its resonant properties and the corresponding input/output transformation. Our results suggest that factors such as the maximum hyperpolarization level, the oscillation amplitude and frequency or the resulting firing threshold can be modulated by synaptic depression. This shapes the postsynaptic neuron's resonant properties arising from the subthreshold oscillation and leads to complex channel-specific input/output relations. Thus, a low-cost modification in synaptic parameters can produce a significant different response. This complex synaptic-dependent input/output transformation allows the implementation of cost-effective information discrimination mechanisms in single neurons by just tuning the depression level of the synaptic channel without modifying the intrinsic neural dynamics."}
+{"text": "Primary gastrointestinal lymphoma is a rare entity, commonly involving stomach, small bowel, and colorectum. The usual location for small bowel B cell lymphoma is distal ileum due to abundant lymphoid tissue. We are reporting the case of a 53-year-old lady presumptively diagnosed as Crohn's disease on clinical and radiological grounds but histopathologically proven to be an unusual variant of isolated primary non-Hodgkin's lymphoma. Gastrointestinal (GI) lymphomas may clinically be confused with other GI tumours as well as with inflammatory bowel disease. About 5% of all lymphomas primarily involve the GI tract. The small intestine is the site of origin of about 15\u201325% of primary GI lymphomas, with stomach being the most common site affected. GI lymphomas arise from the lymphoid tissue within the wall of small intestine which is abundant in the ileum. Primary GI lymphoma is usually localized to a single segment of the intestine, with multicentricity seen in 15\u201320% of cases [We report the rare case of a 53-year-old lady presenting with features, which was clinic-radiologically diagnosed to be jejunal stricture secondary to Crohn's disease (CD) on the basis of clinical and radiological features and was reported to be a case of non-Hodgkin's lymphoma (NHL) of B cell type (uncommon in jejunum) on histological evaluation. Our report emphasizes the importance of considering lymphoma in the differential diagnosis of jejunal stricture presenting with small bowel obstruction.A 53-year-old lady presented to us with chief complaint of left-sided abdominal pain associated with multiple episodes of bilious vomiting over duration of 3 months. She had episodes of diarrhoea for the initial week of onset of symptoms which had improved with oral antibiotics. There was no history indicative of immunosuppression. The general physical and abdominal examinations of the patient were within normal limits. Her blood parameters were within normal limits. Ultrasonography of abdomen revealed evidence of concentric wall thickening of small bowel loops in the left lumbar and paraumbilical region measuring approximately 9\u2009mm with loss of wall stratification. Contrast Enhanced Computed Tomography (CECT) abdomen showed stricture with thick enhancing walls in proximal jejunum measuring 4\u2009cm in length with surrounding fat stranding and dilated proximal and collapsed distal bowel loops. A focal area of proximal jejunum was also thickened. It also showed evidence of hyperemia with dilated mesenteric vessels. These features were suggestive of inflammatory pathology, with a differential diagnosis of Crohn's disease or chronic infectious process such as tuberculosis. Colonoscopy was unremarkable.She was thereafter planned for surgery. Intraoperatively there was a jejunal stricture present at approximately 1.5 feet distal to duodenojejunal flexure with surrounding fibrosis and mesentery and transverse colon adhered to the segment with associated mesenteric lymphadenopathy Figures .The histopathology report showed diagnosis of non-Hodgkin's lymphoma of B cell type. Immunohistochemistry was positive for CD20, CD3, and LCA and was negative for CD117 and Pan CK. The postoperative period of the patient was uneventful and the patient was given the chemotherapy based on R-CHOP regimen .Primary gastrointestinal non-Hodgkin's lymphomas (PGINHL) are one of the rare lymphoproliferative neoplasms arising from lymphatic tissue below the mucosal membrane of the gastrointestinal tract (GIT), accounting for less than 5% of GIT lymphomas . The criPGINHL is usually associated with haemorrhage and perforation and rarely with stricture formation. Although stricture formation might be one of the predictable complications of PGINHL, it has not been reported in previous studies; in a prospective trial of 56 patients with intestinal lymphoma, there were no reported cases of bowel stricture [The main modality of treatment for intestinal lymphoma is chemotherapy. Surgical intervention is usually reserved for complicated lymphomas like in obstruction or perforation. The most common chemotherapeutic regimen includes R-CHOP for B cell lymphoma.Intestinal lymphomas may masquerade as Crohn's disease or chronic infectious disorders. On the other hand, there may be some causal association between the two pathologies, although so far it is unclear. Hence a differential diagnosis of lymphoma should always be considered while dealing with such patients. Endoscopy with deep biopsies followed by immunophenotypic studies should be considered as a part of evaluation so as to reach to a definite diagnosis and timely intervention."}
+{"text": "Increasing numbers of paediatric patients with congenital heart defects are surviving to adulthood, albeit with continuing clinical needs. Hence, there is still scope for revolutionary new strategies to correct vascular anatomical defects. Adult patients are also surviving longer with the adverse consequences of ischemic vascular disease, especially after acute coronary syndromes brought on by plaque erosion and rupture. Vascular tissue engineering and therapeutic angiogenesis provide new hope for these patients. Both approaches have shown promise in laboratory studies, but have not yet been able to deliver clear evidence of clinical success. More research into biomaterials, molecular medicine and cell and molecular therapies is necessary. This review article focuses on the new opportunities offered by targeting microRNAs for the improved production and greater empowerment of vascular cells for use in vascular tissue engineering or for increasing blood perfusion of ischemic tissues by amplifying the resident microvascular network. in vitro before implantation in the patient. MiR modification strategies can also be used directly in ischemic tissues to regulate angiogenesis. Extracellular vesicles (EVs) carrying the \u2018desired\u2019 cargo of miR can be isolated from stem or progenitor cells for direct injection into ischemic tissue.Schematic of application of miRs in vascular tissue engineering. Cells from patient could be collected, expanded and be subjected to miR modulation strategies to generate cells of desired specification. Pluripotent stem cells can be modulated to inhibit self-renewal and promote differentiation toward a desired progenitor cell. Also miR modulation of the progenitor cells may permit maintenance of the cells in a progenitor state or differentiation toward specific progeny thereby facilitating a modular cell therapy strategy. The modified cells can be loaded onto scaffolds for implantation or can be used to generate intact tissues and organs Moreover, bone marrow-derived circulating cells can adhere to and/or infiltrate into the different layers of blood vessels i.e., formation of small vessels from a pre-existing vascular structure) or vasculogenesis (defined as the de novo formation of blood vessels starting from stem cells). However, stem and progenitor cells are now known to contribute to both vasculogenesis and angiogenesis. For the former, they can differentiate into vascular cells which represent the building blocks of new vessels. For the latter, they can act in a paracrine manner to promote angiogenesis. The vascular biology community started to use the term \u201cpost-natal vasculogenesis\u201d when evidence of the existence of \u201cendothelial progenitor cells\u201d able to integrate in blood vessel structure were proposed by Asahara and others The vasculature is one of the first organ systems to develop and it forms an extensive network throughout the body mediating gas exchange, transport of nutrients and waste products, as well as delivering cells and mediators involved in immunity. Blood vessels mainly consist of endothelial cells (ECs) that line the internal surface of the entire vascular system and mural cells, A healthy and functional vasculature is essential to ensure tissue perfusion. Congenital and acquired vascular diseases create the need for surgical anatomical repair, endarterectomy and by-pass or replacement of (portions of) large vessels. The possibility to use portions of autologous vessels is limited in some patients, due to extensive atherosclerosis disease, previous harvest or insufficient time to proceed with harvest (such after aneurysm rupture). Biological homografts, xenografts and prosthetic grafts are currently used in the operating theatre, but they present some limitations, especially as substitute for smaller vessels such as coronary arteries and the lower leg and foot arteries where limited run-off is a significant determinant of flow rate and long-term patency. Moreover, in the context of paediatric surgery, they have the major limitation of not being able to remodel and grow in synchrony with postnatal cardiothoracic development. Hence, VTE, based on the use of (bio) materials that can be combined with stem cells and other cellular and molecular products, is currently being investigated as a revolutionary option that would meet these clinical needs. Vascular pathology does not only relate to macrovascular disease. It also affects the microcirculation, which can worsen tissue ischemia induced by obstruction of large arteries. Moreover, there are clinical situations where microangiopathy can cause tissue ischemia independently of arterial occlusion. Diabetes mellitus is one of the main causes of microangiopathy. New therapeutic solutions that would enable improved blood perfusion by enhancing the microcirculation in ischemic tissues are the object of intense basic and clinical research. Gene- and cell-based therapeutic neovascularization has been developed for more than 20\u00a0years and is now ready to deliver clinical success. The field has been reviewed in many articles For both VTE and therapeutic angiogenesis, optimally functional vascular cells are required and researchers are working to develop protocols that enable improved performance of fully differentiated cells and increase the production and quality of vascular cells from stem and progenitor cells. An obvious approach to improve cell quantity and quality is to manipulate the molecular pathways controlling the regulatory processes contributing to cell survival, growth and cell phenotype. MiRs have the capacity to modulate relevant molecular signalling through post-transcriptional inhibition of multiple target genes. Importantly, the expressional manipulation of relevant miRs has been shown to induce stem cell differentiation into vascular cell lineages In this article, we discuss the clinical needs and state-of-the-art approaches for VTE and therapeutic angiogenesis; we summarize the most relevant information on miRs involved in vascular biology and stem cell differentiation to vascular lineages and we propose how miR targeting could be used to improve VTE and to promote therapeutic angiogenesis. We also discuss the remaining obstacles toward clinical translation.22.1Congenital heart disease (CHD) includes different anatomical defects in the thoracic vessels and/or in heart vessels and chambers. Overall, it affects approximately 1% of all live births, making it the most common birth defect worldwide. The most complicated CHD cases require surgical correction using prosthetic replacement grafts in the form of conduits and patches. However, these prosthetic materials lack growth potential. Consequently, as the infant grows over time, multiple operations are needed to remove the previous graft and implant a new one to fit the larger cardiovascular system. Improvements in cardiac surgery techniques and use of better prosthetic materials have led to a remarkable improvement in early survival rate with a parallel increase in the number of patients with adult CHD 2.2http://aaa.screening.nhs.uk/statistics)Abdominal and thoracic artery aneurysms develop from the combined effect of luminal pressure and weakening of the arterial wall. The most common site for aneurysm formation is in the infra-renal abdominal aorta. In the United Kingdom, the prevalence of abdominal aortic aneurysm is as high as 1.5% in men aged over 65-years and stimulation of angiogenesis in the ischemic area could be synergic to improve clinical outcomes. MiRNA targeting could come in focus for improving both approaches.i.e. atherosclerosis in the coronary arteries. Diabetes mellitus (DM) heavily contributes to the prevalence and severity of IHD through aggravation of atherosclerosis and induction of microvascular disease Ischemic heart disease (IHD) is characterized by reduced blood supply to the heart caused by coronary artery disease (CAD), VTE could be also a potential option in patients with end-stage peripheral arterial disease (PAD). PAD affects 1 in 5 of the population over 60\u00a0years of age . Rest pain, ulceration or tissue necrosis define a situation when PAD has progressed to critical limb ischemia (CLI), which puts the patients at risk of losing their leg. Surgical bypass of the affected iliac or femoral artery are possible therapeutic options for these patients. Autologous veins that are more durable are preferred to prosthetic conduits in cases where bypass is performed below the knee level. Current state-of-the-art in peripheral vascular surgery is (when possible) the use of autologous veins taken from a leg (saphenous vein) or arm . When autologous conduits are not available, synthetic grafts made or either gelatin coated Dacron or expanded PTFE can be used. However, the patency rates of synthetic grafts are inferior to autologous conduits While revascularization focuses on restoring arterial blood flow, therapeutic angiogenesis seeks to improve the microcirculation by stimulating new blood vessel formation. Increasing numbers of \u201cproof-of-concept\u201d studies in small animal models of ischemia point to therapeutic angiogenesis as a way to improve myocardial and limb perfusion. Evidence from these studies fuelled the concept that molecular and cellular therapies able to stimulate angiogenesis could aid therapy optimization and even represent an alternative option for those ischemic patients who are not eligible for revascularization. Nevertheless, further work is needed to achieve the clinical success of therapeutic angiogenesis. In view of recent literature from our groups and others , expanded polytetrafluoroethylene (such as Gore-Tex\u00ae), and several types of xenografts and homografts. The use of these vascular conduits is quite satisfactory in large diameter applications. However, they perform poorly in smaller vessel replacement. The blood-contacting surface and the biomechanical properties of the graft are believed to be important variables in causing patency in small vessels. Acellular or decellularised scaffolds have proved useful, as they provide the natural cues needed for recipient's cells to grow on the scaffold in terms of mechanics and composition 4Tissue engineering (TE) involves seeding cells in three-dimensional matrices to form living tissue products having structural and functional properties that can be used to restore, maintain or improve tissue function. Success depends on the right combination of cells, a scaffold , and the necessary signals. TE approaches directed to building vascular conduits promise to overcome the limitations of the vascular grafts currently used in clinical applications. Moreover, the utilization of matrices already approved for clinical application could help to fast-track the translation of the tissue engineered product to patient's bedside.Vascular ECs and mural cells (VSMCs and pericytes) are the essential components in vascular architecture and hence essential building blocks for vascular tissue engineering (VTE) For any TE approach, ideally cells should be autologous or non-immunogenic and easy to acquire and culture in a clinical-grade manner. 55.1MiRs are endogenous small non-coding (nc) RNAs. MiRs are encoded by autonomous miR genes or intronic sequences embedded in protein coding genes. A large proportion of miRs are clustered in polycistronic units. The canonical miR biogenesis for autonomous miR genes starts with RNA polymerase II-mediated transcription, producing a primary miR (pri-miR) of variable length. This is followed by pri-miR cleavage by a nuclear RNase complex, Drosha/DGCR8, generating a precursor miR (pre-miR) that has a hairpin-like secondary structure\u00a0In the aforementioned described clinical settings, therapeutic miR targeting could help to: 1) enhance the quantity and/or quality of cells available for cell-based therapeutic angiogenesis and/or for VTE; 2) promote stem cell differentiation to vascular cells to be seeded in the scaffolds see ; 3) impr5.2in vitro and in vivo regulators of vascular EC function, proliferation and growth, it is sensible to suggest that ad hoc miR targeting could be applied alone or in combination with GFs to improve endothelial coverage and endothelial function in VTE. Initial evidence for a functional role of miRs in vascular ECs was provided by the observation that mice carrying a Dicer hypomorphic allele die prenatally with severely disrupted blood vessel formation accompanied with retarded expression of early endothelial markers ECs form the inner layer of any blood vessel ensuring vascular homeostasis; and have an essential role during developmental and post-natal angiogenesis. Pre- or post-implant vascularization of TE structures is essential for their engraftment. Moreover pre- or post-implant endothelization of the VTE lumen is mandatory to enable the grafted vascular conduit to mimic healthy blood vessels, where the endothelium contributes to regulation of vascular dilatation with no intimal hyperplasia, calcification, atherosclerosis and thrombosis. In VTE, EC growth and maintenance have been traditionally promoted using GFs such as VEGF and TGF\u03b2 One of the major hurdles in using fully differentiated ECs in VTE is that after about 70 cell cycles, ECs can no longer divide thereby potentially affecting the functionality of the construct in situ VTE approach takes advantage of the regeneration potential of the host cells to regenerate a blood vessel in situ following vessel implantation. The advantage of this approach (which is treated in more details in the 5.4 section) would be that the graft preparation would need less extensive in vitro culture and manipulation).An alternative approach to seeding ECs directly onto scaffold would be to recruit progenitor cells from the circulation. The immature cells would eventually differentiate into ECs on the lumen of the scaffold. This in vitro and were later found to play a critical role in endothelial (dys)function, inflammation and atherosclerosis in vivo to support its perfusion. Currently, the vascular architecture has not been engineered so precisely. However, the feasibility of using pericytes in VTE was shown in a recent study which used bi-layered elastomeric poly (ester-urethane) urea scaffolds 6 cells) were derived from human skeletal muscles and bulk seeded onto the scaffolds using a rotational vacuum seeding device in less than 2\u00a0min At a more advanced stage of VTE optimisation, the engineered vessel should contain in vitro using a co-culture system with ECs. Pericytes induced a paracrine activation of angiogenesis response by ECs through the release of miR-132 ex-vivo inhibition of miR-132 expression with an antagomir in the pericytes before their transplantation in mice with IHD compromised the regenerative properties of these cells in vitroRecently, our group have succeeded in isolating and expanding a clonogenic population of pericyte progenitors (the \u201cBristol pericytes\u201d) from saphenous vein left overs of patients undergoing coronary artery bypass graft surgery From the above, overexpressing miR-132 levels in pericytes would improve their ability for reparative vascularisation. However, few miR overexpression strategies have been developed due to the caveat that miR mimic oligos are unstable, have transient effects and would require multiple administrations Ischemic diseases are shown to impair the pericyte recruitment to capillaries Collectively, these studies suggest the promises of human pericyte populations in VTE and therapeutic angiogenesis and stimulate more research on these cells and their therapeutic use. Finally, the possibility to empower pericytes through miR targeting is emerging.5.4It is now well established that the smooth muscle layer of the blood vessel contributes an important role in ensuring vessel homeostasis and functions. In addition to their vascular physiological roles, VSMCs are also important players in the vascular remodelling processes observed under pathological conditions\u00a0VSMC function was recently found to be heavily influenced by miRs in vivo significantly reduced neointimal formation, demonstrating for the first time the potential of VSMC miRs as therapeutic targets for treatment of vascular disease via 2\u2032O-Methyl-modified antagomirs Another important candidate would be the miR-221/-222 cluster. These miRs were found to be expressed in normal arteries and significantly up-regulated after balloon angioplasty via induction of miR-24 Collectively these studies highlight the important role played by miRs in maintaining the phenotype of VSMC. Direct and/or indirect modulation of these miRs would be beneficial in maintaining the \u201coptimal\u201d phenotype of VSMC for VTE. Along with miRs, GFs and environmental cues also play important roles in VSMC phenotype modulation. For example, studies conducted in human primary pulmonary VSMCs showed that PDGF signalling is a potent inducer of the synthetic phenotype and propose that it acts Similar to ECs, VSMCs can become senescent, which is detrimental for the VTE process. The limited replicative capacity of adult vascular cells is due in part to the progressive shortening of the telomeres with donor age 5.5in vitro that were later decellularised and stored till the time of patient need in vitro remains a major challenge. VSMCs are the major producers of ECM. The successful generation of tissue engineered blood vessels in vitro has been estimated to require almost 8\u201324\u00a0weeks of cell culture time to generate adequate ECM necessary for arterial grafts In an effort to produce \u2018off-the-shelf\u2019 vascular grafts with an adequate ECM, Dahl et al. seeded human VSMC onto PGA scaffolds 5.6in vitro protocols for human embryonic stem cells (ESCs) differentiation to endothelial progenitor cells and ECs in vivo inhibition of the mentioned miRs (using antagomirs), also showed that miR-200c and -150 played an important role in chick embryonic blood vessel formation The re-population of a decellularised matrix with a patient's own stem cells can potentially create a living structure with subsequent long-term preservation of mechanical and biological properties. A number of studies have focused on techniques to promote vascular differentiation from stem cells. With the discovery of miRs, a new route to enhance stem cell differentiation to vascular lineages has presented itself. The possibility to achieve efficient generation of unlimited supplies of vascular cells and vascular progenitor cells from stem cells would be highly beneficial for VTE and therapeutic angiogenesis. Our group and others have established Another study showed miR-126 to be abundantly expressed in mesodermal progenitor cells derived from stem cells and to regulate mature EC function. However, lack of an embryonic lethal phenotype with genetic miR-126 deletion suggests that miR-126 does not command early endothelial lineage commitment and it becomes relevant later during vascular differentiation Dar et al. recently showed successful generation of pericytes from human ESCs and induced puripotent stem cells (iPSCs) MiR-143 and -145 are very well characterized in the vasculature and are positioned as a central target of multiple growth factor signalling pathways influencing VSMC differentiation and maintenance. A recent report has shown that overexpression of miR-145 can regulate the fate and phenotype of human ESC-derived pre-VSMCs as they fully differentiated to VSMCs MiR-1 expression is reported to be increased during differentiation of mouse ESCs to VSMCs Ex vivo manipulation of PACs with anti-miR-15a/16 improved survival and migratory capacity of these cells and increased post-ischemic recovery of mice with limb ischemia in vitroMiR targeting could be additionally used to empower patient-derived autologous progenitor cells and circulating proangiogenic cells to be employed both in VTE and for direct transplantation into ischemic tissue. Moreover, we suggest that miR targeting approaches might improve the release of endothelial chemoattractant messengers from VSMCs seeded in scaffolds, which should facilitate the endothelization of the graft after its implantation by promoting EC migration from the bordering native vasculature as well as by recruiting blood circulating endothelial progenitor cells. Bone marrow (BM)-derived proangiogenic cells (PACs), which were previously known as early endothelial progenitor cells (EPCs), have been implicated in both native and therapeutically guided angiogenesis 6As discussed earlier in this review, miRs have an essential role in vascular biology and pathology as well as in stem cells differentiation into vascular cells. To fully utilise the power of these master regulators in VTE, there are several aspects that needs to be answered effectively. Firstly, the choice of miR modulation strategies needed to give the desired effect in VTE should be carefully considered. Secondly, how these strategies would be delivered/used in a VTE perspective. We will look into the approaches for therapeutic miR delivery strategies in the following section.Studies conducted over the last decade clearly show that miRs are involved in almost all types of cellular processes, making them an attractive therapeutic target that could be used in VTE. The clinical studies conducted so far using GFs to enhance or modulate the cell source in VTE has met with limited success. The limitations of current techniques could be effectively overcome by the adequate use of \u201cmiR drugs\u201d. Strategies for miR-based therapies are based on either the restoration of suppressed genes by inhibiting the specific miR and or the delivery/overexpression of the miRs that suppress those target genes that have a desired effect on the cell source or signal used in VTE. However, care must be taken when targeting miRs that have multiple targets to avoid unexpected side effects. MiRs are differently involved in the maintenance of a variety of cell types. Therefore it cannot be excluded that the same miR can be advantageous to the cell population we want to target, but have negative side effects on other cells or tissues. Hence, it becomes evident that a finely tuned \u201cmiR drug\u201d delivery is needed to avoid potential harmful side effects. For example, the aforementioned miR-34a involved in vascular cell senescence 6.1Selecting the right miR drug delivery strategy for VTE is crucial in determining the success of the construct. The major challenges in delivering plasmid and oligonucleotide-based miR therapies are nuclease degradation, limited cell membrane permeability, and generally transient activity. Delivery strategies must be selected based on the class of miR therapy chosen and also on the target tissue. For instance, for localized applications, such as vascularising a tissue engineered construct that can be easily accessed, a direct tissue injection can be optimal. Controlled release of miRs could be achieved by using biodegradable scaffolds that can simultaneously act as a tissue template and as a source of sustained miR release ex-vivo deliver miR therapy to cells to modulate cell differentiation or survival as required for the VTE construct. In a recent report Devalliere et al. report on a new approach for enhanced EC transplantation using targeted NPs transfection to deliver proangiogenic miR-132 to cultured ECs before their transplantation, thereby sensitizing cells to the effects of endogenous GFs Another approach would be to 6.2via exosomes has been shown to modulate cross-talk between ECs and VSMCs via chemical linkers, antibodies or by specific tags. Use of EVs with biodegradable scaffolds with desired release profiles would allow constant and gradual release of EVs for the desired effect. A major advantage is that EVs would allow harnessing the paracrine effects of stem and progenitor cells without having to administer live stem cell populations. This would help in easier clinical translation with regard to safety, regulation and complexity. However a major challenge that needs to be addressed is how to isolate the required quantity of EV for VTE. The current gold standard in isolation relies on ultracentrifugation etc. Moreover, the EV membrane could be engineered to contain epitopes guiding targeting and delivery into specific cell types. From the above, it is apparent that more studies are required to optimize the angiogenic potential of EVs for their effective use in VTE and therapeutic angiogenesis.Functionally competent mature miRs are released by cells as conjugates with (lipo)proteins 6.3The studies discussed here indicate that miR therapeutics can have wide applications for VTE supporting the enthusiasm for further exploration of miRs as novel therapeutic candidates. However numerous challenges remain in the path toward clinical translation of miR therapeutics for VTE. miRs are master regulators targeting several regulatory networks at the same time. Though this can be highly advantageous in certain scenarios, the promiscuity of miRs also makes the process of selecting the right therapeutic miR candidates very challenging. There is inevitable overlap between key genes controlling pluripotency and differentiation on the one hand cancer initiation and development on the other Another important factor that needs to be considered is that tissue repair by VTE is a multi-step process that requires variable levels of miR modulation depending on the stage of the TE process. Identifying the miRs that are modulated during biological vascular repair in the body would be very important for VTE. The best outcomes in miR therapy for VTE might occur when the temporal provision of miR modulators are matched to these biological repair processes. MiR modulation strategies are based on the presumption that relatively modest changes in the expression of target mRNAs are sufficient to evoke therapeutic benefits. An interesting study by Mukherji et al. showed that mRNA targets by miRs display threshold effects such that the mRNA can be efficiently modulated when it is present at relatively low levels compared to miR 7in vitro using either an inducible or suicide cassette. This would allow constitutive expression of miRs and stringent governance of temporal expression to target dysfunctional gene expression. This may also open up new alternatives for obtaining autologous cells in a more time efficient manner for VTE. However, it is important to be careful with implementing the exciting miR targeting technologies because a complete understanding of all the processes is still lacking. As a consequence, miRs have not yet reached clinical application. From a translational point of view, ex-vivo use of miR targeting for improving the production and functional properties of cells to be either used for therapeutic angiogenesis approaches via direct transplantation into ischemic tissue or as building blocks for bioengineered scaffolds would improve the risk profile of any \u201cmiR drug\u201d. This would also facilitate the entrance into the clinical arena via a first-in-man clinical trial, which is now enthusiastically anticipated by the whole community of basic and clinical scientists whose attention has been captured by miRs.Development of a tissue engineered vessel that is mechanically robust, biologically functional and clinically compatible is extremely challenging. From a clinical perspective, time and cost are important factors that need to be considered for VTE. The most successful approaches so far have utilised vascular cells and the process still require long times for vessel generation. MiR modulation of cells for use in VTE is an exciting, underexplored avenue. As discussed in this review, a number of miRs have been reported to control vascular cell and stem cell properties that determine vital therapeutic outcomes in VTE. It may be possible to combine several modulatory strategies to harness the \u2018right\u2019 miR expression signature for a desired clinical benefit. miR expression levels in vascular cells or progenitor cells could be manipulated BHF Centres of Regenerative Medicine (CE); Leducq Transatlantic Network in Vascular microRNA (MIRVAD) (CE); Sir Jules Thorn award 2014 (MC); the National Institute for Health Research (NIHR) through the Bristol Biomedical Research Unit (BRU) in Cardiovascular Medicine (GDA). The views expressed are those of the author(s) and not necessarily those of the National Health System, the NIHR or the Department of Health."}
+{"text": "This study sought evidence for a specific cerebellar contribution to cognition by characterising the cognitive phenotype of Spinocerebellar Ataxia Type 6 (SCA-6); an autosomal dominant genetic disease which causes a highly specific late-onset cerebellar degeneration. A comprehensive neuropsychological assessment was administered to 27 patients with genetically confirmed SCA-6. General intellectual ability, memory and executive function were examined using internationally standardised tests . The patient group showed no evidence of intellectual or memory decline. However, tests of executive function involving skills of cognitive flexibility, inhibition of response and verbal reasoning and abstraction demonstrated significant impairment at the group level with large effect sizes. The results demonstrate an executive deficit due to SCA-6 that can be conceptualised as parallel to the motor difficulties suffered by these patients: the data support a role for the cerebellum in the regulation and coordination of cognitive, as well as motor processes that is relevant to individual performance."}
+{"text": "Rosai-Dorfman disease (RDD) is a rare entity that usually involves the lymph nodes but extranodal involvements have been seen in numerous cases, although RDD with cardiovascular involvement is extremely rare. We describe a case of a young male who presented with intermittent palpitations and was found to have a left atrium mass. Our case not only emphasizes the rarity of the above lesion but also highlights the importance of modern-day imaging like computed tomography, Cardiac Magnetic Resonance Imaging (CMRI), and PET scan in characterizing such nonspecific lesions and directing appropriate line of treatment. RDD should be considered as one of the differentials even for isolated cardiac lesions. Rosai-Dorfman disease (RDD) is a rare, benign histiocytic proliferative disorder with massive cervical lymphadenopathy as the most common clinical presentation. Various extranodal lesions of RDD have been reported in the literature but involvement of the cardiac system is rare. The etiology of RDD is unknown and confirmation of the diagnosis still relies on immunohistochemistry analysis. We report a case of a young male presenting with intermittent palpitations and demonstrating a mass in the left atrium on imaging. Imaging like cardiac MRI, CT, and PET scan has proven to be immensely valuable in outlining such nonspecific lesions.A 27-year-old African American male without any significant past medical history presented with intermittent palpitations and left ventricular hypertrophy on electrocardiogram (ECG). Two-dimensional (2D) transthoracic echocardiography showed an echodense mass in the left atrium. Further evaluation with Cardiac Magnetic Resonance Imaging (CMRI) demonstrated a heterogeneous broad base mass arising from the posterior superior wall and roof of the left atrium. The mass was located approximately at the expected location of coumadin ridge and measured 1.9 \u00d7 1.5\u2009cm and demonstrated mild postcontrast enhancement . It arisPatient was further evaluated with Computed Tomography Angiography (CTA) of chest for better anatomical evaluation of the mass, which confirmed a cardiac region mass which is difficult to distinguish from the mediastinum and is located at the roof and posterior superior wall of the left atrium similar to the description on the CMRI . The mas18F-fluorodeoxyglucose positron emission tomography has proven to be a valuable imaging technique for distinguishing neoplastic lesions from benign lesions and evaluating the extent and processes of the disease. It not only demonstrates the complete staging of the disease but also can provide functional information about the disease activity to guide biopsy. FDG PET imaging in our patient demonstrates foci of increased uptake in the mediastinum and right perihilar region, corresponding to soft tissue findings on the previous CT study , an inflammatory myofibroblastic tumor (which has a background proliferation of spindle cells associated with an infiltrate of mononuclear inflammatory cells and ALK-1 positivity), metastatic malignant melanoma (in which cells are positive for Melan-A), Hodgkin's disease (which shows characteristic Reed-Sternberg cells and positivity for CD15 and CD30), and fungal or mycobacterial infections . LiteratCardiac involvement in RDD is a rare occurrence and can mimic sarcoma, granulomatous disease, lymphoma, or benign atrial myxoma. Difficulty in evaluation of a cardiac mass by imaging is a frequently encountered scenario. Computed tomography (CT) helps us understand anatomical extent while magnetic resonance (MR) imaging and positron emission tomography (PET) scan can analyze morphology and metabolic features of a mass. Imaging helps in better characterization of a cardiac mass and also plays a pivotal role in assessment of its complications by demonstrating involvement of adjacent structures and mass effect or looking for a potential source of thrombus. Many pertinent clinical questions determining further management can be very well answered by appropriate imaging. Hence we illustrate the CT, MR, and PET findings of RDD presenting as a left atrial mass.Rosai-Dorfman disease (sinus histiocytosis with massive lymphadenopathy) is a rare entity with extremely uncommon involvement of the heart as an extranodal lesion. Imaging plays an important role in the diagnosis and management of lymphoproliferative disorders like Rosai-Dorfman disease which commonly present as nonspecific lesions. Although immunohistopathology remains as the main stay for confirmation of the disease, CT, MRI, and PET scan imaging are extremely useful in early detection and localization of the mass. PET scan is also a sensitive indicator for early prediction of treatment response in RDD. Through this case, we not only stress the importance of maintaining a high index of imaging suspicion for RDD but also delineate the significance of imaging in management and follow-up of such cases."}
+{"text": "We present a case report of food protein-induced enterocolitis (FPIES) to mushrooms and highlight the caveats of diagnosing acute FPIES in clinical practice, particularly in older children and when solid foods are involved. The current clinical diagnostic criteria need to be revised based on the recent evidence to avoid under-diagnosis of FPIES."}
+{"text": "Aspergillus niger (AnPEP) has been identified as being able to accelerate breakdown of gluten in food using an in vitro digestion system. Such digests have been analysed in terms of coeliac disease t-cell epitope levels[Coeliac disease and IgE-mediated allergy to wheat are immune-mediated conditions which are thought to be triggered by digestion-resistant wheat proteins. Recently, a prolyl endopeptidase from pe levels but havein vitro batch gastric digestion model to break down a bread matrix with different amounts of AnPEP. SDS PAGE and immunoblots have been used to monitor protein digestion, and mass spectrometry has allowed for epitopes important to IgE-mediated wheat allergy and coeliac disease to be tracked. Sera were obtained from a Spanish patient panel with allergy to wheat induced by exercise and/or NSAIDs and used for additional immunoblots.We have used an SDS PAGE and immunoblotting with anti-gluten antibodies show more effective breakdown of gliadins and LMW glutenins in the presence of AnPEP. The impact of digestion on the IgE-reactivity of gluten by immunoblotting has been correlated with resistant proteins and peptides mapped by mass spectrometry. Use of 200 mg AnPEP/ g substrate showed the largest difference in digestion kinetics of gluten proteins however increased breakdown was still visible using 20 mg AnPEP/ g substrate.AnPEP alters the patterns and pathways of gluten in a simulated gastroduodenal digestion system. The potential application of such enzymes to modify the allergenic potential of cereals is discussed."}
+{"text": "Working memory (WM) is the ability to transiently hold and manipulate goal-related information to forthcoming actions. In primates performing delayed-response tasks, the neural correlate of WM is the emergence of selective persistent activity in the prefrontal cortex (PFC), during the delay period \u2013 i.e., the increase of neuronal firing rates compared to baseline in response of specific stimulatory cues. Neuronal firing during such persistent activity can be highly irregular, with a coefficient of variation (CV) of the interspike interval distribution larger than one. The origin of this increased irregularity is a matter of debate, as it is not known whether it stems from inherent properties of neurons or the plasticity of their synaptic connections or both. Astrocytes, the main type of glial cells in the cortex, have recently emerged as potential active players in synaptic plasticity due to their proposed ability to regulate synaptic neurotransmitter release in response to neuronal activity. Because available WM models do not take into account astrocytes, we investigated the possible role of astrocyte regulation of synaptic plasticity in the emergence of persistent neuronal firing in WM and its statistics. Our modeling study suggests that selective persistent activity could indeed emerge from astrocyte-mediated short-term synaptic facilitation triggered by the brief presentation of a stimulatory cue Figures . Bifurca"}
+{"text": "Rapid development of high-throughput -omics and genetic engineering technologies together with an array of new metabolic modeling tools during this century has led to the emergence of new fields of biological research termed systems biology and synthetic biology. The successful exploitation of these developments is evidenced by the creation of increasing number of genetically engineered recombinant cells with superior characteristics for growth under well-controlled optimal conditions, typically realized in biotechnological processes. This leads to non-efficient use of protein synthesis capacity (translation machinery) and energy for bioprocesses. As translation capacity is believed to be one of the growth-limiting factors, at least in the bacterium max) of cells comes from two studies of E. coli investigating the effects of heterologous protein expression on \u03bc of target molecule production-related proteins. On the other hand, recombinant protein titers could be significantly elevated by allocating more proteome resources for target protein expression at the expense of lower synthesis of non-essential proteins even at the same \u03bc and/or protein synthesis rate.A conceptually similar approach of creating reduced-genome strains for industrial purposes has been applied in few cases before . It is important to point out that knowing functions/essentiality for more proteins is not the objective per se \u2013 it is actually more important to know the functions/essentiality of the proteins with the biggest translational burden (abundance\u2009\u00d7\u2009length), as their deletion presumably leads to stronger effects. The good news here is that for many organisms, the proteome mass (a good proxy for length) distribution follows the Pareto principle \u2013 ~20% of proteins make up ~80% of the proteome mass , alternative substrate transport and catabolism and cellular movement (flagellar).The second strategy targets proteins with unknown functions with the biggest translational burden. Beneficial for both approaches is the growth screen of all the Keio collection single -type models for in silico analysis and design of lean-proteome strains. Recently, we have seen serious progress into this direction by the development of a novel single-cell model (Abner et al., Lastly, one would greatly benefit from an Based on the recent rapid advances in high-throughput mutant generation and proteomics technologies together with the emerging novel whole-cell modeling approaches, we conclude that the time is ripe for the metabolic engineering community to directly focus on proteome optimization leading to the creation of lean-proteome strains with superior target molecule production characteristics.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Agrobacterium research story started from the search for the causative agent of crown gall disease more than 100 years ago. Agrobacterium tumefaciens was first isolated from grapevine galls in 1897 and later isolated from Paris daisy in 1907 from a bacterial tumor-inducing (Ti) plasmid. Transfer to the plant occurs via a type IV secretion system (T4SS), after which T-DNA is integrated into the plant host genome was completed in 2001 system and conjugal opines. Lang and Faure and chromosomal virulence gene (chv gene) products. The current knowledge of how A. tumefaciens senses and reacts to different plant-derived signals are summarized in the review article by Subramoni et al. phosphorylation and translocation into the plant nucleus to induce defense gene expression. On the other hand, Agrobacterium may hijack VIP1 to help T-DNA enter the plant nucleus. Based on the current knowledge of plant defense responses against Agrobacterium infection, Pitzschke , and subsequently activate plant defense responses, a process known as Pattern-recognition receptor-Triggered Immunity (PTI) from Agrobacterium biology and how Agrobacterium transforms plants. These contributions demonstrate how a highly active research community in plant and microbial sciences can elucidate important pathogenesis questions. Future research on Agrobacteium will continue to advance our understanding of plant-pathogen interactions, and provide new insights useful for plant genetic engineering.With this Research Topic we provide a platform for scientists to share their understanding of The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "It has become the reference sequence for understanding the diversity among thousands of rice cultivars and its wild relatives as well as the major cereal crops that comprised the food source for the entire human race. This review focuses on the accomplishments in rice genomics in Japan encompassing the last 10\u00a0years which have led into deeper understanding of the genome, characterization of many agronomic traits, comprehensive analysis of the transcriptome, and the map-based cloning of many genes associated with agronomic traits.The map-based genome sequence of the The online version of this article (doi:10.1186/s12284-016-0107-4) contains supplementary material, which is available to authorized users. Oryza sativa ssp. japonica cv. Nipponbare remains as the only monocot genome that has been sequenced to a high-quality level. It has therefore become a reference for sequencing of other cereal crops with much larger genome sizes such as maize .The latest genome assembly was constructed as a joint effort of the Rice Annotation Project Database (RAP-DB) of the National Institute of Agrobiological Sciences (NIAS) and the Michigan State University (MSU) Rice Genome Annotation Project to update and validate the reference IRGSP Nipponbare genome sequence and provide a unified set of pseudomolecules to the rice research community that provides a viewer for Illumina reads of the japonica cultivar Koshihikari and indica cultivar Guangluai-4 mapped to the Nipponbare genome, showing the alignments, single nucleotide polymorphisms (SNPs), and gene functional annotations. The RAP-DB is updated on a regular basis so that it can provide researchers with the latest information on characterization of rice genome structure and function. Recent advances in DNA sequencing technologies resulted in generation of massive genome sequencing data in a considerable number of rice cultivars and species. To facilitate efficient visualization of rapidly emerging large-scale sequencing data, a novel web-based browser, Tasuke (http://tasuke.dna.affrc.go.jp/), with various functions to show the variation and read depth of multiple genomes, as well as annotations and SNP data of hundreds of cultivars aligned to a reference genome at various scales, has been developed for efficient utilization of emerging NGS data of rice cultivars to clarify the diversity in the twelve wild rice genomes rice accessions with 179 RFLP markers led to development of a rice diversity research set of germplasms (RDRS) in indica, aus and japonica accessions available for the detailed genetic studies and rice improvement gene or BB genomes (O. punctata). These genomes diverged from a common ancestor only ~2 Mya. This result suggests that the RFT1 gene may have originated from Hd3a by a recent duplication although a possible deletion of RFT1 within the other species could not be ruled out. The Nipponbare reference sequence could contribute insights into the molecular mechanisms underlying genomic evolution and selection in rice which would benefit breeding programs to modify and control flowering time through efficient utilization of different genes or gene alleles.A series of comparative genomic studies among various species in the genus gon Fig.\u00a0a, b. Simons Fig.\u00a0d. UnlikeTos17 insertion mutant panel (Hirochika Tos17 mutant lines have been successfully used in tagging specific genes (See reference list at https://tos.nias.affrc.go.jp/doc/references.html).The rice genome sequence of Nipponbare has been pivotal in the development of a system for discovering the biological functions of approximately 32,000 genes identified in rice. This has been addressed early on with the development of resources for functional genomics such as the hhttps://dbarchive.biosciencedbc.jp/en/kome/desc.html) have been very useful for functional characterization of many genes. Both these resources are still widely used up to the present by researchers around the world particularly in systematically assigning functions to many predicted genes in the genome, in addition to other resources such as T-DNA insertion lines providing an overview of the transcriptional changes throughout the growth of the rice plant in the field, and RiceFREND (http://ricefrend.dna.affrc.go.jp/) for co-expression analysis of these genes. These resources are now widely used for deciphering gene functions and analysis of rice gene networks. Combining the massive field transcriptomic data and meteorological information with statistical model construction, we have also succeeded, to some extent, in predicting fluctuation of gene expression, or transcriptome dynamics , encodes a B-type response regulator that is suppressed under long-day conditions for which Ghd7 is responsible , is involved in the photoperiodic flowering pathway by regulating the transcription level of a flowering repressor, Grain number, plant height and heading date 7 (Ghd7) gene , a so-called plant activator that protects plants from diseases by activating plant innate immune system has been identified based on an extensive analysis of the genes associated with grain color in about 50 rice cultivars, tracing the origin to tropical japonica has been recently discovered through screening and genetic analysis of the NIAS rice collection which have a great potential for improvement of rice yield under drought conditions by controlling the root system architecture in rice gene selected in high-yield rice breeding programs increased the photosynthesis rate gene limits endosperm cell number and grain length. Defective alleles lead to increase in grain size and yield . Rice being an integral part of Japanese agriculture is very much a part of these programs. Several ongoing MAFF-funded research projects focus on using the genome information of various crops for the development of various technologies to boost next-generation agriculture. As a part of that major project, the development of rice genomics resources and informatics tools are expected to contribute in such areas through attempts of various sectors to develop rice cultivars that address the specific needs of various rice producing regions in Japan considering the environmental changes in rice cultivation due to climate change.In Japan, rice genomics has been a part of major research programs of the Ministry of Agriculture, Forestry and Fisheries (MAFF) that address various issues in sustainable food production and agriculture. Foremost among these issues are the rapid aging of farm workers and depopulation of farming communities which would eventually affect agricultural production in the not so distant future. In breeding programs, various efforts are being initiated to integrate rice genomics technology to the development of novel varieties to reinvigorate Japanese agriculture. The new basic plan for food, agriculture and the rural areas which serve as the guideline for advancing the reform of measures and efforts by the entire nation so as to enable Japan\u2019s agriculture and rural areas to accurately respond to structural and other changes in the economy and society (As the rice research community embarks on various efforts in rice genomics, more rice genome sequence and transcriptome profiles will be generated in the very near future. Elucidating the molecular mechanisms controlling many biological processes will be supplemented by information to be obtained from other technologies such as proteomics, metabolomics (Okazaki and Saito IRGSP, International Rice Genome Sequencing Project; NGS, next-generation sequencing technology; RAP-DB, Rice Genome Annotation Project Database"}
+{"text": "Vertebrate vision is based on light-mediated alterations of the cyclic GMP concentration in outer segments of retinal photoreceptors. These chemical signals are converted by cyclic nucleotide-gated (CNG) channels into electrical signals that are further processed within the retina and, finally, the visual cortex of the brain. Dysfunctional cGMP signaling is associated with visual impairment and has been identified in several types of inherited blinding diseases. In particular, loss-of-function mutations in CNG channel subunits expressed in cone and rod photoreceptors were identified to cause achromatopsia and retinitis pigmentosa, respectively. Besides displaying functional defects, the pathologies of both diseases are characterized by retinal degeneration that may be triggered by profound alterations in the cGMP and Ca2+ homeostasis. Our laboratory has generated genetic mouse models to dissect the molecular pathways underlying the multifaceted pathomechanisms of achromatopsia and retinitis pigmentosa. Complementary to these studies viral expression vectors based on AAVs (adeno associated virus) have been developed to rescue vision in genetic mouse models. These gene therapy approaches have now evolved to a point that allows clinical application in human patients in the near future. Our current approaches in this exciting new field will be discussed."}
+{"text": "Variability is an inherent and important feature of human movement. This variability has form exhibiting a chaotic structure. Visual feedback training using regular predictive visual target motions does not take into account this essential characteristic of the human movement, and may result in task specific learning and loss of visuo-motor adaptability. In this study, we asked how well healthy young adults can track visual target cues of varying degree of complexity during whole-body swaying in the Anterior-Posterior (AP) and Medio-Lateral (ML) direction. Participants were asked to track three visual target motions: a complex (Lorenz attractor), a noise (brown) and a periodic (sine) moving target while receiving online visual feedback about their performance. Postural sway, gaze and target motion were synchronously recorded and the degree of force-target and gaze-target coupling was quantified using spectral coherence and Cross-Approximate entropy. Analysis revealed that both force-target and gaze-target coupling was sensitive to the complexity of the visual stimuli motions. Postural sway showed a higher degree of coherence with the Lorenz attractor than the brown noise or sinusoidal stimulus motion. Similarly, gaze was more synchronous with the Lorenz attractor than the brown noise and sinusoidal stimulus motion. These results were similar regardless of whether tracking was performed in the AP or ML direction. Based on the theoretical model of optimal movement variability tracking of a complex signal may provide a better stimulus to improve visuo-motor adaptation and learning in postural control. Intentional postural tracking of visual cues is used in balance assessment and rehaHealthy movement behavior on the other hand assumes the maintenance of some degree of intrinsic variability and flexibility in the motor output. Optimal movement variability is associated with complex interactions across multiple control systems, feedback loops and regulatory processes that enable an organism to function and adapt to the demands of everyday life ,8. It haBased on this theoretical paradigm, visuo-motor learning should allow the system\u2019s intrinsic variability to be maintained or even exploited. One way to attain this goal in postural tracking practice is to introduce visual cues of varying degree of organized complexity. However, one question that needs to be addressed first is how well humans can track with their gaze and posture a visual target that moves in an unpredictable, chaotic pattern. Evidence from auditory synchronization research introduced the notion of strong anticipation as a new framework for explaining the coordination of tapping behavior with chaotic signals . In thisIn a recent study examining the dynamic response of posture and gaze to visual target motions of varying complexity , gaze waThe aim of the present study was to examine how well healthy adults can track (with their whole body) visual target cues that differ in the degree of complexity during voluntary visually guided sway in the Anterior-Posterior (A/P) and Medio-Lateral (M/L) direction. This was reflected in the degree of target-performance (posture and gaze) coupling assessed using both linear (coherence) and non-linear metrics (Cross-Approximate entropy). We hypothesized that participants would entrain their posture and gaze better to the chaotic rather than the noise or periodic visual target motion because chaos is an inherent feature of biological motion.Ten (10) healthy young male adults , recruited from the university students, volunteered to participate in this study. All participants were free from any neurological or musculoskeletal impairment and had normal or corrected to normal vision. Participants gave their informed consent prior to their inclusion in the study. The experiment was performed with the approval of Aristotle University\u2019s ethics committee on human research in accordance with the Declaration of Helsinki. Participants gave their written informed consent prior to their inclusion in the study.Two adjacent force plates recorded the ground reaction forces at 100 Hz during experimental task performance. The resultant vertical ground reaction force normalized to the participant\u2019s Body Weight (BW) was displayed as a yellow dot in real-time via an overhead projector on a large projection screen located in front of the standing participant at a distance of 1.5 m, at eyelevel . The forPosture and gaze data were collected in a single experimental session at the Motor Control and Learning laboratory of Aristotle University of Thessaloniki, Greece. At the starting position , the parTarget signals were constructed using custom Matlab algorithms while the data series were accessed and displayed through the main Labview application onto the monitor. The maximum peak-to-peak amplitude of the target signals was scaled to 90% of BW in both directions. Each signal comprised 6000 data points. The position of the stimulus on the monitor was updated at a rate of 50 Hz providing 120 seconds of continuous target stimulus motion. All target signals had the same median frequency (0.25 Hz) that corresponds to the dominant frequency of self paced sway as this was estimated by pilot tests and prior experiments . This rehttp://people.sc.fsu.edu/~jburkardt/m_src/brownian_motion_simulation/brownian_motion_simulation.m) with input, integers M = 2, N (the number of time steps) = 10000 [we choose 6000 data points (4000:10000)], the d (diffusion coefficient) = 10.0 and the real T = 1.0.This signal was selected as it provides an non-periodic motion structure, but also affords continuous smooth pursuit eye movement responses. Furthermore, work by Collins and Deluca [Three signals of different degree of complexity were used Deluca , have suIn order to compare how well one\u2019s postural sway and gaze was coupled to the visual target motions two different metrics of coupling were calculated in Matlab : the spectral coherence (Coh) and Cross Approximate Entropy (CrossApEn). These two measures estimate the magnitude and the temporal structure of the association respectively between a) the resultant force vector and the target stimulus motion b) the gaze (eye coordinate in the respective target\u2019s direction) and the target stimulus motion in the AP and ML directions.Spectral coherence measures the degree of correlation between two signals in the frequency domain. The magnitude-squared coherence is estimated as a function of sway frequency with values between 0 and 1 that indicate how well force and gaze couple to the target stimulus motion at the dominant sway frequency of 0.25 Hz . Cross-AThe effect of direction and target stimulus motion on the performance-target coupling was evaluated employing a 2 (direction) x 3 (stimulus complexity) repeated measures ANOVA. Significant interactions between factor levels were further analyzed by performing pairwise (t-tests) comparisons between the respective factor levels after adjusting p values for multiple comparisons.Group results for the force-target coherence are plotted in Group results for the gaze-target coherence are plotted in Group results on the Cross ApEn metric are shown in A significant main effect of visual motion complexity on the gaze-target Cross ApEn = 95.031, p = .001)suggests that gaze was also sensitive to the visual stimuli motion complexity . SimilarThe novel finding of this study is that humans can track, with their gaze and posture, the complex motion of a visual target equally well or even better than the motion of a target moving periodically, regardless of whether tracking is performed in the AP or ML direction. This finding was confirmed by both metrics of performance-target coupling used in this study.As expected, gaze showed a higher degree of coherence and lower Cross ApEn with the sinusoidal than the brown noise motion suggesting tighter coupling to the predictable target motion. Moreover, gaze synchronized better to the complex target motion as revealed by the lower Cross ApEn between gaze and the Lorenz attractor than the sinusoidal signal. Gaze in our task was defined by the direction of the visual axis (the line connecting the centre of the fovea and the point of fixation) in the two-dimensional coordinates of the projection screen. This reflected the eye and head movement in smoothly pursuing the target since the stimulus motion was sufficiently slow to eliminate the recruitment of eye saccades. The more synchronous gaze-target coupling when tracking the Lorenz attractor signal suggests that the complex target motion imposes a higher demand on attending to the visual target as opposed to the sinusoidal stimulus motion which is more predictable. Our findings complement previous evidence showing that the complexity of the visual stimulus elicits reciprocal complexity in the response of the smooth pursuit gaze behavior . Eye-traGaze-target coherence was still higher for the sinusoidal than the Lorenz attractor signal when the target was moving in the AP direction, whereas in the ML direction there was no difference between the two target motions. This difference in the AP direction could be due to the additional visuo-motor transformation required for tracking the vertically moving target and converting this information into forward-backward sway. The fact that gaze demonstrated a greater coupling to the sinusoidal than the Lorenz stimulus motion in the frequency domain may be attributed to the smaller amplitude of the gaze signal. As it is evident from Force-target coupling was greater when the target was moving periodically than randomly . This finding complements previous evidence showing that a predictable target moving in the ML direction is tracked with a shorter time delay and higher accuracy than an unpredictable one . MoreovePostural sway synchronized better with the periodic than the more complex target motion as indicated by the lower force-target Cross ApEn for the sinusoidal than the Lorenz attractor visual motion. The fact that posture showed a more synchronous coupling with the sinusoidal stimulus motion suggests that participants were able to predict the target motion and adjust their posture employing an open loop type of control without necessarily attending to the stimulus when tracking the sine wave. Our results are in agreement with experimental evidence from the tapping literature suggesting that synchronizing with biologically variable auditory rhythms involves similar internal processes as with other variable rhythms , but different from those involved with a regular metronome ,29. SpecEntrainment of posture and gaze to the target motions of varying complexity was similar regardless of whether tracking was performed in the AP or ML direction. Of note here is the fact that during the experiment, special attention was given to maintain a consistent stance width across all trials performed in both directions. AP tracking was expected to result in greater entrainment than tracking in the ML direction because visual information about self-motion and orientation is available predominantly in the AP ,34and toThe results of the present study revealed that humans can track, with their gaze and posture, the complex motion of the visual stimulus equally well or even better than the motion of a target moving predictably. This novel finding complements recent multidisciplinary research proposing that information exchange is improved between complex long-range correlated systems . HealthyIn sum, based on our findings we propose that tracking of visual cues of a higher degree of complexity could be ecologically more sound and a better type of stimulus for optimizing visuo-motor learning while maintaining functional variability in the motor output. This type of practice may enable the human system maintain and use its functional degrees of freedom and adaptability. In this context, further studies should be designed to assess the sensitivity of the human perceptual-motor systems to the (long-range correlated) structure of fluctuations in environmental stimuli. This investigation may contribute to optimize human/environment interactions in several contexts, as the use of rhythmic auditory stimulation for gait rehabilitation in Parkinson\u2019s patients . DespiteS1 DatasetCoherence and Cross Approximate Entropy data for all subjects.(XLSX)Click here for additional data file."}
+{"text": "Introduction. Cadaveric dissections and prosections have traditionally been part of undergraduate medical teaching. Materials and Methods. Hundred and fifty-nine first-year students in the Faculty of Medicine, University of Colombo, were invited to participate in the above study. Students were randomly allocated to two age and gender matched groups. Both groups were exposed to identical series of lectures regarding anatomy of the abdomen and conventional cadaveric prosections of the abdomen. The test group was also exposed to cadaveric cross-sectional slices of the abdomen to which the control group was blinded. At the end of the teaching session both groups were assessed by using their performance in a timed multiple choice question paper as well as ability to identify structures in abdominal CT films. Results. Scores for spatial and radiological anatomy were significantly higher among the test group when compared with the control group . Majority of the students in both control and test groups agreed that cadaveric cross section may be useful for them to understand spatial and radiological anatomy. Conclusion. Introduction of cadaveric cross-sectional prosections may help students to understand spatial and radiological anatomy better. Cadaveric prosections have been fundamental to understanding the complexities of the human body structure and have played a pivotal role in gross anatomy teaching in medical education . DissectTraditionally anatomy has been taught on a regional basis. However cross-sectional anatomy is routinely encountered by clinicians. With the advent of modern medical imaging, more and more cross-sectional images of human anatomy are available as teaching material for modern day students. Can we improve spatial understanding of anatomy and imaging by exposing students to cadaveric cross-sectional specimens? We attempted to answer this question in a carefully designed case control study.n = 84, 52.8% female n = 75, 47.2%) first-year students in the Faculty of Medicine, University of Colombo, were invited to participate in the above study. Written informed consent was obtained and the consenting students were randomly allocated to two age and gender matched groups. Both groups were exposed to identical series of lectures regarding anatomy of the abdominal cavity. Control group was exposed to conventional cadaveric prosections of the abdomen. The test group was exposed to a session containing prosected cadaveric cross-sectional slices of the abdomen to which the control group was blinded. At the end of the teaching session understanding of the spatial anatomy of the abdomen among both groups was assessed by using their performance in a timed pretested and validated multiple choice question paper (SA). In addition ability to identify structures in abdominal CT films was also tested in a structured examination using abdominal CT scan films (RA). Individual marks of each component were added to arrive at the final cumulative scores (CS).Hundred and fifty-nine first-year medical students participated in the study. Male female distribution and mean age were nearly equal in both groups.159 .Scores for spatial anatomy (SA) and radiological anatomy (RA) as well as the cumulative scores (CS) were higher among the test group when compared with the control group. Differences observed among the scores were statistically significant . Similarly vast majority in both groups (control 97.6% test 97.4%) also thought that radiological imaging may be used more often as adjunct to teaching anatomy.Sound knowledge of anatomy has been considered cornerstone of medical education . This isCertainly the concept of using cross-sectional imaging as an adjunct for teaching anatomy is not new. As early as 1985, 68% of medical schools in the United States were using some form of radiological imaging in undergraduate teaching . Over tiEarly ingenious attempts have been made to incorporate cross-sectional anatomy into medical curricula. Oh and colleagues used clay models of internal organs and used cut surfaces of the models to teach students how to interpret cross-sectional diagnostic imaging . PlasticIn our study we noted statistically significant improvement in spatial anatomical scores as well as radiological anatomy interpretation scores when students were exposed to cadaveric cross sections. Although there are multiple reviews on use of cross-sectional radiological imaging material as teaching aids for students \u201314, hardOur study also explored the perceptions of the students regarding use of cadaveric cross-sectional imaging in anatomy teaching. Interestingly enough, significant proportion of both test and control groups thought that cross-sectional prosections may be extremely helpful in understanding anatomical concepts. Even though we did not use imaging as a teaching tool in our study, majority of both test and control groups felt that radiological imaging would be a useful adjunct to learning anatomy. This is in keeping with many other studies where integration of radiological anatomy to traditional anatomy courses was received with welcome arms by both students and instructors .Although we propose to use cadaveric prosections and radiological imaging as an adjunct to conventional anatomy teaching we still do not advocate sole reliance of cross-sectional imaging for purposes of teaching anatomy. Indeed there have been rising concerns regarding falling quality of anatomical education with ever decreasing course times and limited availability of cadavers for dissection . AlthougOur study illustrates that cadaveric cross-sectional prosections can be used as an adjunct to improve spatial anatomical knowledge among students and to improve the ability to accurately interpret the radiological imaging. We recommend incorporation of prosected cadaveric cross sections as well as radiological imaging material as adjuncts to conventional anatomical curricula."}
+{"text": "The cost of next-generation sequencing is now approaching that of the first generation of genome-wide single-nucleotide genotyping panels, but this is still out of reach for large-scale epidemiologic studies with tens of thousands of subjects. Furthermore, the anticipated yield of millions of rare variants poses serious challenges for distinguishing causal from noncausal variants for disease. We explore the merits of using family-based designs for sequencing substudies to identify novel variants and prioritize them for their likelihood of causality. While the sharing of variants within families means that family-based designs may be less efficient for discovery than sequencing of a comparable number of unrelated individuals, the ability to exploit cosegregation of variants with disease within families helps distinguish causal from noncausal ones. We introduce a score test criterion for prioritizing discovered variants in terms of their likelihood of being functional. We compare the relative statistical efficiency of 2-stage versus1-stage family-based designs by application to the Genetic Analysis Workshop 18 simulated sequence data. Most genome-wide association studies for discovering common variants associated with disease traits have been conducted using a case-control design with unrelated controls. Not only are unrelated individuals easier to identify and enroll than are entire families (particularly multiple-case families), but the statistical efficiency per subject genotyped is typically higher using unrelated controls than using unaffected siblings or other relatives . HoweverWe consider a 2-stage design using individuals from a family study for discovery of novel variants and screening, followed by association testing in an independent data set using the linear regression of the phenotype on the genotype. A subset of members is selected for sequencing, preferentially sampling those with the most extreme phenotypes. We rank all the variants identified in these individuals using a novel score test and select those most likely to be causal for genotyping and association testing in the replication data set. These designs are compared with a single-stage family-based design in which all available members are sequenced .Bayes factor criterion. Following the principles described in Petersen et al N = 157).We arbitrarily fixed the total number of variants to be prioritized at 100, but the general principles for design of 2-stage designs -24 couldrelative performance of the 1-stage and 2-stage designs). Because treatment is itself related to blood pressure, it is both a confounder and an intermediate variable on a causal pathway, so neither ignoring it nor covariate adjustment is appropriate. This problem was extensively discussed at Genetic Analysis Workshop 13 [It is also possible that more appropriate adjustment for time-dependent treatment data would improve power for all these analyses (although it's unlikely to affect the kshop 13 ; see refkshop 13 -29 for dThe authors declare that they have no competing interests.ZY participated in statistical analysis. DCT developed the statistical method. Both authors participated in drafting and revising the manuscript. Both authors read and approved the final manuscript."}
+{"text": "The transgenerational inheritance of stress-induced epigenetic modifications is still controversial. Despite several examples of defense \u201cpriming\u201d and induced genetic rearrangements, the involvement and persistence of transgenerational epigenetic modifications is not known to be general. Here I argue that non-transmission of epigenetic marks through meiosis may be regarded as an epigenetic modification in itself, and that we should understand the implications for plant evolution in the context of both selection for and selection against transgenerational epigenetic memory. Recent data suggest that both epigenetic inheritance and resetting are mechanistically directed and targeted. Stress-induced epigenetic modifications may buffer against DNA sequence-based evolution to maintain plasticity, or may form part of plasticity\u2019s adaptive potential. To date we have tended to concentrate on the question of whether and for how long epigenetic memory persists. I argue that we should now re-direct our question to investigate the differences between where it persists and where it does not, to understand the higher order evolutionary methods in play and their contribution. Arabidopsis epigenetic recombinant inbred line (epiRIL) populations that have no DNA sequence variation but epigenetic variation in DNA methylation were created by crossing wild-type \u201cColumbia\u201d with mutants deficient in DNA methylation. The patterns created by recombination in these Arabidopsis epiRILs led to a range of stress-tolerance and phenotypes similar to the natural range in accessions within six to nine generations , nucleosome occupancy and recombination. The effect is an altered epigenome that regulates stress response. In some cases the signature of the stress experience remains in the epigenome after relief from the stress, providing a \u201cmemory.\u201d If this memory conditions the response to stress during subsequent development, the organism is said to be epigenetically primed. If the memory of the stress experienced by a parent conditions the response of its progeny, this epigenetic priming may be transgenerational. Following Arabidopsis, priming for antibacterial defense involves active demethylation of TEs that leads to transcriptional activation of defense regulators via hormonal signals , its silencing and the epigenetic maintenance of silencing during warmer temperatures was sequential so that initial, incomplete post-transcriptional silencing shifted to transcriptional silencing over generations once a copy number of 40 was reached. EVD bore the seeds of its own destruction; its molecular suppression of post-transcriptional silencing generated RdDM that led to its transcriptional silencing. These findings (and others reviewed in A number of stresses can mobilize TEs and supp pathway . Transpo pathway . Variati pathway or even pathway . FederofAlthough the majority of stress-induced chromatin modifications do not persist past gametogenesis (reviewed in UBP1b gene in Arabidopsis, the AltSB aluminum tolerance locus of sorghum, and the regulation of desiccation tolerance via inducible siRNAs at the CDT-1 element of Craterostigma plantagineum (Mu killer locus in maize may be highly prevalent. Via siRNAs, Mu killer heritably silences the MuDR transposon (Mu killer derives from an inverted duplication of a partially deleted MuDR element (If the re-setting of stress-induced epigenetic modification at gametogenesis exists to allow encoding of transgenerational memory at new, responsive elements how might we see its signature in the genome? In some known cases, the epigenetic regulation of stress response is fixed in the genome at TE-derived sequences and heritable: Examples include the siRNA-based silencing of the tagineum . In addiansposon . Mu kill element and this element and is s element . Coupled element these re element .Reversible epigenetic regulation may have advantages in fluctuating environments. Epigenetic and genetic variation co-evolve . This neThese models might account for the seeming variability in observations of epigenetic phenotypic plasticity and transgenerational epigenetic responses to stress. A rapid accumulation of epigenetic variation in response to stress would be visible in the phenotype of the first one or several generations if washed-out or rapidly sunset. Alternatively, a stress-induced burst of epigenetic modification might be visible in the first generation but largely disappear after re-setting with only a proportion fixed following the re-set generation. A rapid re-setting of stress-induced epigenetic variation followed by neutral accumulation to a new fitness maximum would only become visible once epigenetic variation exceeded genetic variation, or following another stress-induced burst. This model is illustrated in Figure Theoretically a brief, transgenerational epigenetic memory ensures plasticity, but the dual inheritance of genetic and epigenetic variation ensures adaptation . If re-sWhen we consider the evidence for epigenetic transgenerational inheritance in response to stress we should consider whether it will be visible in an individual epigenome and whether the ebb and flow of visible epigenetic modifications limits or contributes to plasticity. The framework for population and species-level studies of genetics can now be applied in epigenetics to inform our understanding . It is tThe author declares that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Activation of dopamine receptor type-5 (DR5) has been known to reduce systemic blood pressure, most likely by increasing renal vasodilation and enhancing natriuresis in the kidney. However, the mechanism of DR5 in natriuresis and vasodilation was not clearly known. We have previously shown that DR5 is localized to primary cilia of proximal renal epithelial and vascular endothelial cells. We here show that selective activation of DR5 specifically induces calcium influx only in the primary cilia, whereas non-selective activation of dopamine receptor induces calcium fluxes in both cilioplasm and cytoplasm. Cilia-independent signaling induced by thrombin only shows calcium signaling within cytoplasm. Furthermore, calcium activation in the cilioplasm by DR5 increases length and mechanosensory function of primary cilia, leading to a greater response to fluid-shear stress. We therefore propose a new mechanism by which DR5 induces vasodilation via chemical and mechanical properties that are specific to primary cilia. Thus, understanding cilia-specific proteins and signaling pathways is crucial to pharmacologically intervene in the pathogenesis of ciliary diseases. The localization of various proteins within the bulb of a cilium has just been recently understood (Mohieldin et al., The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "The inhalation of combustion-derived nanoparticles leads to adverse health effects in the airways. In this context the induction of membrane-coupled signalling is considered as causative for changes in tissue homeostasis and pro-inflammatory reactions. The identification of these molecular cell reactions allowed to seek for strategies which interfere with these adverse effects. In the current study, we investigated the structurally different compatible solutes mannosylglycerate (firoin) from thermophilic bacteria and ectoine from halophilic bacteria for their capability to reduce signalling pathways triggered by carbon nanoparticles in target cells in the lung. The pre-treatment of lung epithelial cells with both substances decreased the particle-specific activation of mitogen-activated protein kinases and also the endpoints proliferation and apoptosis. Firoin applied into the lungs of animals, like ectoine, led to a significant reduction of the neutrophilic lung inflammation induced by particle exposure. The pro-inflammatory effect of carbon nanoparticles on human neutrophil granulocytes ex vivo was significantly reduced by both substances via the reduction of the anti-apoptotic membrane-dependent signalling. The data of this study together with earlier studies demonstrate that two structurally non-related compatible solutes are able to prevent pathogenic reactions of the airways to carbon nanoparticles by interfering with signalling events. The findings highlight the preventive or therapeutic potential of compatible solutes for adverse health effects caused by particle exposure of the airways. The inhalation of combustion-derived carbonaceous nanoparticles leads to adverse health effects in the airways including lung cancer, chronic obstructive pulmonary disease, and fibrosis During the last years, we aimed to develop preventive strategies based on the knowledge of these molecular events which occur during the interaction of environmentally relevant combustion-derived nanoparticles and lung epithelial cells. For that purpose, we screened substances which are well tolerated by epithelial cells for their ability to prevent membrane-coupled cell stress events triggered by carbon nanoparticles. We identified the \u2018compatible solute\u2019 ectoine as effective in preventing cell stress reactions triggered by carbon nanoparticles. Ectoine prevented the downstream consequences of the specific changes in the lipid raft induced by nanoparticles Pyrococcus furiosus and has been described to be an effective stabilizer of proteins under temperature stress Compatible solutes are defined as small, organic, mostly neutral or zwitter-ionic compounds, which are able to stabilize cell functions In the present study we tested the preventive effects of the compatible solutes ectoine and firoin on particle-exposed lung epithelial cells. The investigations of ectoine and firoin as examples of compatible solutes coming from halophilic and thermophilic bacteria were performed as a proof of concept for the strategy to use different kinds of compatible solutes as preventive substances in the airways. Comparing two chemically independent substances with respect to their efficacy might provide valuable information for further efforts to find substances for molecular prevention. Both substances were tested for their capacity to prevent CNP-induced apoptosis and proliferation and the respective signalling events specifically triggered by environmental model particles in lung epithelial cells. Furthermore, the effects of firoin on lung inflammation in the in vivo system was studied. The possible value of firoin on the prevention of anti-apoptotic effects was investigated in human peripheral blood neutrophils. The efficacy of firoin in the in vivo and the ex vivo systems was compared with the previously published preventive effects of ectoine.The human study was approved by the local ethics committee on human research of the Heinrich-Heine University D\u00fcsseldorf and written informed consent was obtained from all study subjects before enrolment. Animal studies according to German animal welfare legislation were approved by the responsible authority (LANUV NRW).CNP, 14 nm diameter were characterized and prepared as described earlier RLE-6TN cells Protein isolation and Western blotting were performed as described earlier Female Fisher 344 rats were instilled intratracheally with 2.5 mg/kg CNP suspended in 0.4 ml PBS as described earlier 2O2. After block with goat serum, sections were stained over night with phospho-Erk1/2 or phospho-JNK1/2 using the corresponding Western blot antibodies and detected with HRP-coupled secondary antibody and AEC substrate and counterstained with hematoxylin. Neutrophil elastase was stained accordingly with the rat specific antibody . The specific staining was performed using diaminobenzidine. The specificity of the staining was controlled by parallel approaches without primary antibody and with isotype controls.Tissue preparation, sections, and immunohistochemical staining were performed as described 4 events per sample and positive cells were considered as apoptotic. Different treatment groups were normalized to spontaneous apoptosis of untreated cells.Peripheral blood was collected from young, healthy, male volunteers (age 31.2\u00b17.3 yrs). Volunteers with ongoing medication were not included in the study. Neutrophil isolation was performed as described Statistical analyses were performed using IBM SPSS statistics 22. Figures display mean values and standard errors. As indicated in the figure legends, different kinds of analyses were performed. Normally distributed samples were analysed by one-way ANOVA with the indicated post hoc significance testing. Small sample size groups were compared employing the non-parametric Mann-Whitney-U test. Corrections for multiple testing were performed when applicable.2], the phosphorylation of the MAPK was determined at the time point of maximal activation . This particle exposure conditions were chosen from earlier dose response experiments on MAPK activation in which no cytotoxic side effects were observed In a first approach to investigate the beneficial effects of the compatible solutes ectoine and firoin, the phosphorylating activation of the MAPK Erk1/2 and JNK1/2 was investigated in the cell culture system with rat lung epithelial cells (RLE-6TN). Both markers in earlier studies proved to be specific for CNP, as bigger non-nanoparticles did not trigger these cell reactions The functional relevance of the prevention of cell stress signalling was also tested by measuring the respective endpoints specifically mediated in lung epithelial cells by these MAPK. For this purpose, the most efficient compatible solute concentrations which inhibited phosphorylation of Erk1/2 and JNK1/2 were used to interfere with the cascade leading to proliferation and apoptosis induced by CNP treatment. BrdU incorporation and activation of caspase-3 were measured in RLE cells, respectively. In accordance with the MAPK findings, the incorporation of BrdU as well as the activation of caspase-3 triggered by carbon nanoparticle stress was significantly reduced when the cells were pre-exposed to the compatible solutes . The in As a major outcome of CNP exposure, lung inflammation was investigated for its sensitivity to firoin treatment. In a first approach, increasing doses of the substance were applied together with the particles in rats . The memAlthough compatible solutes, as hydrophilic substances, are not considered to interact with the hydrophobic carbon particles, they might influence particle characteristics in a way that less pro-inflammatory events are triggered after particle-cell interaction. Therefore, as a proof of principle, the application of firoin was separated from the application of CNP. Animals were treated twice with firoin prior to the exposure to CNP . Again, Previous studies identified the role of ectoine not only in reducing the pro-inflammatory response of epithelial cells to CNP, but also to restore normal levels of apoptosis in CNP-treated neutrophils. To evaluate whether firoin also has a beneficial effect on this pro-inflammatory event, human peripheral blood granulocytes from healthy volunteers (n\u200a=\u200a7) were pre-treated ex vivo with increasing doses of firoin 2 h prior to CNP exposure [33 \u00b5g/ml]. Cells were analysed after 6 h of particle exposure for the expression of anti-apoptotic Mcl-1 protein and apoptosis rates were determined flow cytometrically after 16 h using the early apoptotic marker Annexin V. As an internal control, the experiment was also performed in the presence of 1 mM ectoine. Pre-treatment of 1 mM firoin significantly restored natural apoptosis rates which were reduced by the exposure of the neutrophils to CNP . The samWith the current findings we describe preventive effects of two structurally unrelated compatible solutes on membrane dependent signalling pathways induced by carbon nanoparticles. The major results are: (i) the pre-treatment of lung epithelial cells with firoin and ectoine leads to reduced CNP-specific MAPK activation responsible for aberrant proliferation or apoptosis (ii) the application of firoin as earlier demonstrated for ectoine, has preventive effects on neutrophilic lung inflammation (iii) in the presence of firoin and ectoine, the anti-apoptotic effects of CNP on peripheral human neutrophils are prevented and natural apoptosis rates are restored.MAPK activation by CNP as model particles for ultrafine ambient air particles can be specifically and dose dependently reduced by the application of both compatible solutes. Accordingly, proliferation and apoptosis which both occur in cultured lung epithelial cells after CNP exposure depending on the pre-disposition of the individual cell were significantly reduced in these experiments. The reduction of proliferation and apoptosis demonstrate the physiological relevance of the signalling pathways via Erk1/2 and JNK1/2 for these in vitro endpoints. The findings corroborate the causal link between the signalling pathways activated by CNP and the specific outcomes.Besides possible effects on tissue homeostasis and remodelling, the most prominent effect of inhaled ambient particles is the induction of inflammatory responses. The recent data show that both markers of membrane-dependent signalling are induced in the lung epithelium also in vivo by CNP and that the prevention of this cellular reaction by an intervention strategy can be correlated to a reduction of neutrophilic inflammation in rat lung. The link between MAPK activation and the expression of neutrophil-attracting chemokines has earlier been demonstrated in a study in which human bronchial epithelial cells have been exposed to CNP Applying firoin either together with or prior to the particles into the lungs of animals resulted in a mild (20% to 30%) but significant reduction of neutrophilic lung inflammation 48 h after particle exposure. This effect, however, is stronger in other experimental systems. We recently demonstrated an ectoine-caused reduction of the inflammatory response by 50% in CNP-treated C57/Bl6 mice 12 h after particle exposure The success of the strategy to apply the compatible solute prior to the particle exposure underlines the preventive way of action of compatible solutes, mediated by the stabilization of the membrane-coupled signalling complexes. However, from the animal experiments it cannot be concluded that the preventive effect of firoin on the lung inflammation is exclusively mediated by the reduction of pro-inflammatory reactions of the epithelium. Although not studied at a functional level it is evident, that in both animal experiments firoin treatment has no effect on the number of macrophages in the lung at the time point of analysis. This can partially be explained by the observed predominant effect of compatible solutes on the expression of the neutrophil recruiting chemokine cinc-1 in epithelial cells. On the other hand, a direct effect of firoin on neutrophils cannot be excluded.We earlier described that during an ongoing inflammation, CNP in neutrophils counteract the natural apoptosis. Apoptosis of neutrophils is an important regulatory mechanism of an acute inflammation Studies comparing chemically different compatible solutes revealed different specific effectivity with respect to their stabilizing capacity on proteins in vitro We are aware that the main strategy to prevent adverse effects of air pollution has to be the improvement of air quality. However, modern life style as well as non-anthropogenic sources of air pollution often set limits to measures of air hygiene In conclusion, the data of the current study show that firoin, like ectoine, is a compatible solute which has beneficial effects on adverse effects in the airways after exposure to combustion-derived nanoparticles. Both substances which are chemically and structurally not related have very similar efficacy in the prevention of pathogenic endpoints induced by carbon nanoparticles in vitro and in vivo."}
+{"text": "The blood\u2013cerebrospinal fluid barrier (BCSFB) established by the choroid plexus (CP) epithelium has been recognized as a potential entry site of immune cells into the central nervous system during immunosurveillance and neuroinflammation. The location of the choroid plexus impedes in vivo analysis of immune cell trafficking across the BCSFB. Thus, research on cellular and molecular mechanisms of immune cell migration across the BCSFB is largely limited to in vitro models. In addition to forming contact-inhibited epithelial monolayers that express adhesion molecules, the optimal in vitro model must establish a tight permeability barrier as this influences immune cell diapedesis.\u00ae and the ECPC4 line to primary mouse choroid plexus epithelial cell (pmCPEC) cultures for their ability to establish differentiated and tight in vitro models of the BCSFB.We compared cell line models of the mouse BCSFB derived from the Immortomouse\u00ae or the ECPC4 tumor cell line did not express characteristic epithelial proteins such as cytokeratin and E-cadherin and failed to reproducibly establish contact-inhibited epithelial monolayers that formed a tight permeability barrier. In contrast, cultures of highly-purified pmCPECs expressed cytokeratin and displayed mature BCSFB characteristic junctional complexes as visualized by the junctional localization of E-cadherin, \u03b2-catenin and claudins-1, -2, -3 and -11. pmCPECs formed a tight barrier with low permeability and high electrical resistance. When grown in inverted filter cultures, pmCPECs were suitable to study T cell migration from the basolateral to the apical side of the BCSFB, thus correctly modelling in vivo migration of immune cells from the blood to the CSF.We found that inducible cell line models established from the ImmortomouseOur study excludes inducible and tumor cell line mouse models as suitable to study immune functions of the BCSFB in vitro. Rather, we introduce here an in vitro inverted filter model of the primary mouse BCSFB suited to study the cellular and molecular mechanisms mediating immune cell migration across the BCSFB during immunosurveillance and neuroinflammation. The choroid plexus (CP) is a highly-vascularized structure that folds from the ependymal lining of the lateral, third and fourth ventricles in a convoluted fashion into cerebrospinal fluid (CSF)-filled ventricular spaces. In contrast to brain microvessels at the blood\u2013brain barrier (BBB), CP microvessels are fenestrated and allow for free diffusion of molecules from the blood into the CP stroma. Highly-polarized epithelial cells, which cover the entire surface of the CP, establish a barrier between the blood and the CSF, the blood\u2013cerebrospinal fluid barrier (BCSFB). While preventing the free diffusion of blood components into CSF, the BCSFB regulates the transport of metabolites and is considered the major source of the CSF . Par+ Th17 cells into the CNS. Last but not least, the CP mediates neutrophil invasion into the CNS after traumatic brain injury Sucrose across the BCSFB rat in vitro model [In depth characterization of the primary mouse CPEC cultures in the present study demonstrated this approach to be a valid in vitro model to study immune functions of the mouse BCSFB. Primary mouse CPECs were isolated and grown at high purity and formed contact-inhibited monolayers. CPECs maintained expression of CPEC specific molecules and developed mature junctional complexes. Primary mouse CPEC established a tight barrier with high trans-epithelial electrical resistance (TEER) values comparable to the TEER measured across primary CPEC cultures from different species , 55, 56 ro model . Furtherro model and the ro model and threro model .Taken together cultured pmCPEC maintain important barrier characteristics of CPECs in vivo and are thus a suitable model for the mouse BCSFB in vitro.To study T cell migration across the BCSFB in vitro, the pmCPEC cultures were adapted to grow on an inverted porous filter membranes as previously described in . InteresTaken together in the present study, we have successfully established an inverted in vitro filter model of the mouse BCSFB with barrier characteristics resembling that of the BCSFB in vivo. We provide proof of principle that this model is suited to study T cell migration from the blood to the CSF side across the BCSFB. This model of the mouse BCSFB can be used to investigate whether different immune cell subsets can cross the BCSFB and enable the cellular and molecular mechanism involved to be defined.\u00ae and from the commercially available ECPC4 are not suited for this purpose. Rather pmCPECs growing on inverted Transwell filters were defined as a reliable in vitro model for experiments mimicking the T cell migration from the blood vessel side to the apical side facing the CSF. Moreover, our adapted \u2018inverted\u2019 BCSFB model is suitable for addressing not only the immune cell subset extravasation but also the passing of substances and pathogens, taking into account the correct orientation of the polarized cells as it occurs under physiological conditions within the brain.A suitable tool for reproducible high throughput investigations of the molecular and cellular mechanisms that mediate the migration of specific immune cells into the CNS via the mouse BCSFB is missing to date. Here we show that cell line models derived from the Immortomouse"}
+{"text": "Information concerning the roles of different brain regions in recognition memory processes is reviewed. The review concentrates on findings from spontaneous recognition memory tasks performed by rats, including memory for single objects, locations, object\u2013location associations and temporal order. Particular emphasis is given to the potential roles of different regions in the circuit of interacting structures involving the perirhinal cortex, hippocampus, medial prefrontal cortex and medial dorsal thalamus in recognition memory for the association of objects and places. It is concluded that while all structures in this circuit play roles critical to such memory, these roles can potentially be differentiated and differences in the underlying synaptic and biochemical processes involved in each region are beginning to be uncovered. Different types of information can be used to establish whether a stimulus or set of stimuli have been encountered before and thus it may be argued that recognition memory has multiple component aspects. For example, judgments can be made on whether an individual item is novel or familiar and/or whether an item has been previously associated with another item, a particular location or context. In addition judgments can be made using an item's relative familiarity or the recency of the last encounter with that item 1.1novel object preference (OR), in which the rats\u2019 exploration of a novel object is compared with that of a familiar object; (b) object location (OL), which tests the animals\u2019 ability to detect the movement of a familiar object to a novel location; (c) object-in-place (OiP) in which animals\u2019 discriminate between familiar objects that have been previously associated and those that are newly associated with particular places; (d) temporal order (TO) which examines the animals\u2019 ability to differentiate between familiar objects presented at different times previously.As this review will focus on experimental evidence from rodent studies, we will briefly outline object recognition paradigms in the rat. Object recognition memory tasks depend on the use of this species\u2019 instinctive tendency to explore novel items or a novel location. These tasks thus avoid lengthy training regimes or reinforcement schedules 2There is now overwhelming evidence demonstrating that the perirhinal cortex plays a critical role in judging the prior occurrence of individual items; relevant work from both behavioural and electrophysiological studies has been reviewed extensively elsewhere 2.1A number of studies have revealed the essential role of the perirhinal cortex in novel object recognition. Thus tasks in which the subject must discriminate between novel and the prior occurrence of infrequently repeated individual items, as for example, visual delayed matching or non-matching to sample tasks with \u2018trial unique\u2019 stimuli, in monkeys 2.2In 2000 Bussey et al., demonstrated that a combined lesion in the perirhinal and postrhinal cortex significantly impaired object-in-place associative recognition memory. This study was followed by others showing that selective ablation of the perirhinal cortex produced the same impairment While the precise contribution of the perirhinal cortex in object-in-place memory clearly requires systematic investigation, its importance in object identity and in detecting stimulus familiarity is generally agreed and these processes are likely to be critical for successful object-in-place performance. As will be discussed later in this review a number of studies indicate a role for the hippocampus and also the medial prefrontal cortex in processing the spatial location of the objects, and the formation of object\u2013location associations.2.3Recognition memory judgements concerning objects may also encompass how recently objects were encountered or the order in which they were encountered. Excitotoxic lesions of the perirhinal cortex produce significant deficits in temporal order memory for a sequence of two objects 3The role of the hippocampus in single item object recognition memory has prompted much debate. Some studies have reported that lesions in the hippocampus produce significant impairments 3.1The hippocampus has a clearly demonstrable role in object recognition memory tasks which have a spatial component, such as the object-in-place task. Thus lesions in the hippocampus or fornix impair object-in-place and also object location tasks Electrophysiological evidence thus suggests that the CA1 hippocampal subfield is critically involved in processing object-in-place memory 3.2There is accumulating evidence supporting a role for the hippocampus in memory for sequences of stimuli and for recognition memory involving recency judgements Studies have shown that hippocampal subfields make differential contribution to temporal order memory. For example, Hoge and Kesner 4Functional imaging in human subjects has implicated the prefrontal cortex in recognition memory processes 4.1In contrast to the difficulty in establishing a direct role for the medial prefrontal cortex in single item recognition memory, lesions in the medial prefrontal cortex significantly impair object-in-place associative recognition memory 4.2The medial prefrontal cortex has been shown to play an important role in temporal order and recency memory 5In humans and non-human primates damage to the medial dorsal thalamus (MD nucleus) produces recognition memory deficits 6The evidence reviewed above establishes that the perirhinal cortex, medial prefrontal cortex, hippocampus and MD thalamus all contribute to aspects of recognition memory. In particular, selective bilateral ablation of these regions has demonstrated that each is necessary for both object-in-place and temporal order memory. Further, investigations have been made to assess the extent to which object-in-place and temporal order memories depend on functional interactions between these brain regions. A disconnection analysis has been used to address this issue: a unilateral lesion is placed in each of two different regions of interest in either the same or opposite hemispheres. If the two brain regions are required to cooperate during a task, then this will not be possible when the two lesions are in opposite hemispheres (crossed lesions) as neither hemisphere has an intact circuit. However, when both lesions are in the same hemisphere , the circuit remains intact in the contralateral hemisphere. While it is possible that interhemispheric connections might allow circuits to be completed in the crossed lesion case, the findings reported below demonstrate that such commissural communication is insufficient to restore performance in the case of object-in-place and temporal order memory as investigated.Using this experimental strategy it was found that disconnection of the medial prefrontal cortex from the perirhinal cortex disrupted both object-in-place and temporal order memory, while having no effect on single item recognition or object location memory: crossed lesions resulted in major deficits in both object-in-place and temporal order memory while unilateral lesions were without effect There is anatomical evidence that would support these interactions, as the medial prefrontal cortex receives a direct projection from the hippocampus and MD, and is reciprocally connected with the perirhinal cortex 6.1Our disconnection studies reveal that object-in-place memory is mediated by a cortico-thalamic-hippocampal network, but what might be the functional contributions of each region within the circuit? Bilateral lesion studies have revealed dissociations in the contributions of the perirhinal cortex, medial prefrontal cortex, and hippocampus in single-item recognition and object location memory There is also evidence that object-place information may be integrated within the hippocampus. Thus hippocampal and medial prefrontal firing patterns have been shown to be strongly correlated during object-in-place performance Further disconnection studies have shown that MD thalamus provides an additional component to these associative recognition and temporal order memory circuits. Disconnection of MD from the medial prefrontal cortex impaired object-in-place and temporal order performance: the interaction between MD and medial prefrontal cortex is equally as necessary as the structures themselves The MD thalamus provides a significant input into the medial prefrontal cortex Further information can be obtained concerning the putative role of a specific brain region by seeking effects upon memory acquisition and retrieval by temporarily inactivating the region during one or other of these processes. Local infusion of the AMPA receptor antagonist NBQX through an implanted cannula temporarily blocks excitatory neurotransmission, so inactivating a specific region for a restricted time . Reversibly inactivating MD bilaterally in this way produces a greater impairment when MD is inactivated during retrieval than during acquisition of object-in-place memory These results imply that the engram for object-in-place memory is unlikely to be stored in MD thalamus . Moreover, inactivation of MD during acquisition does not so impair the functioning of medial prefrontal cortex that acquisition is totally prevented. Thus MD cannot be the only route by which information is transferred from perirhinal cortex to medial prefrontal cortex during acquisition. It is possible that the impairment produced during retrieval is because of consequent disruption of medial prefrontal cortex through a general loss of incoming MD activity rather than a loss of specific information transfer from MD.In contrast, similar reversible inactivation experiments using infusions into perirhinal cortex, hippocampus and medial prefrontal cortex establish that each of these structures is necessary during both acquisition and retrieval of object-in-place memory The above data indicate the importance of the functional integrity of circuits involving the perirhinal cortex, hippocampus, medial prefrontal cortex and MD thalamus for associative recognition memory processes. However, recent findings emphasise that the particular neural processes necessary for such memory differ for the different areas. MD is more important for retrieval than acquisition of object-in-place memory 6.2The perirhinal cortex, medial prefrontal cortex, hippocampus and MD thalamus also cooperate during temporal order memory. While lesion studies do not enable us to define the cognitive contribution to temporal order memory made by each region, there is evidence that the perirhinal cortex and medial prefrontal cortex contain neurons which code for the recency of stimulus presentation and evidence that the hippocampus contains \u2018time cells\u2019 which provide a representation of time duration between stimuli 7This review has outlined evidence that demonstrates that object recognition memory is not a unitary process, as the ability to judge the prior occurrence of a stimulus or stimuli can be achieved using different forms of information, dependent on different brain regions. Recognition memory that involves multiple items and their contextual associations or the temporal order in which items are encountered depends on interactions within a circuit involving the perirhinal cortex, hippocampus and medial prefrontal cortex. Further, these forms of recognition memory also involve interactions between the medial prefrontal cortex and MD thalamus. However, evidence is accumulating that the component parts of this circuit make different contributions to the memory and display differences in the underlying synaptic and biochemical processes involved."}
+{"text": "Progress in headache research suggests that migraine pathophysiology involves inherited abnormal brain functions and that the initiation of headache depends on flow of nociceptive signals that originate in pain-sensitive intra- and extra-cranial organs conveyed through peripheral nociceptors to central trigeminovascular neurons. Despite this progress, little is known about the identity of the pain fibers that mediate the initiation phase, or what activates them.To assess the extent of presence of inflammatory molecules in periosteum tissues that were taken from calvarial areas where the head hurts.We compared number of copies of gene transcripts (mRNA) that encode proteins that play known roles in inflammatory and immune responses and number of copies of molecules that regulate the expression of those genes (miRNA) in periosteum tissues of 27 chronic migraine (CM) patients and 17 control subjects.36/524 mRNAs and 27/726 miRNAs were differentially expressed in the periosteum of CM patients compared to control subjects. Of these, 25 genes were up-regulated whereas 11 were down-regulated . Of the 27 post-transcripts, expression was low for 11 and high for 16 miRNA sequences.The findings suggest that the molecular environment in which periosteal pain fibers exist contain abnormal expression of genes that promote inflammation; a condition that is likely to lower their activation threshold, when symptoms appear at the onset of an attack, or activate them chronically."}
+{"text": "Furthermore, single-cell studies indicate that DNA damage responses generate substantial variation in repair activities across cells. This review focuses on fluorescence imaging methods that offer a quantitative description of DNA repair in single cells by measuring protein concentrations, diffusion characteristics, localizations, interactions, and enzymatic rates. Emerging single-molecule and super-resolution microscopy methods now permit direct visualization of individual proteins and DNA repair events in vivo. We expect much can be learned about the organization of DNA repair by linking cell heterogeneity to mechanistic observations at the molecular level.DNA repair safeguards the genome against a diversity of DNA damaging agents. Although the mechanisms of many repair proteins have been examined separately The DNA repair machinery also controls mutation rates that generate genetic variation in response to environmental changes. These conflicting tasks are finely tuned to achieve sufficient plasticity without compromising evolutionary stability. Mechanisms that create and control variation in DNA repair are therefore central to the survival of species. At the molecular level, heterogeneity is introduced by the stochastic occurrence of individual chemical reactions and molecule encounters. As a result, even seemingly homogeneous biological populations show differences between their individual components, such as variability in protein expression levels of clonal cells A central source of heterogeneity specific to DNA repair lies in the variety of exogenous and endogenous DNA damaging agents, ranging from UV light and radiation to alkylating chemicals and reactive oxygen species. The resulting diversity of toxic and mutagenic lesions favors a modular organization of repair in conserved pathways each involving a series of enzymes. Environmental changes cause further variation in the DNA repair system by triggering DNA damage and stress responses that induce specific repair proteins or activate large sets of genes through global regulatory networks. Cells thus face the difficult task of maintaining the proper balance of the entire repair system over a wide range of conditions to ensure that lesions are removed fast and accurately without accumulation of toxic intermediates Although the main repair pathways have been identified and characterized using genetic, biochemical, biophysical, and cell biological approaches, we are still far from understanding the overall organization of DNA repair in cells. For instance, it is unclear how the different repair components cooperate to create functioning pathways, how the pathways coordinate and integrate with other cellular processes, and how environmental changes modulate the organization of the repair system. In short, a full systems-level description of DNA repair is needed, ideally based on the mechanisms of the individual enzymes. Many mysteries about DNA repair would be solved if the proteins could be directly observed in action inside single living cells, thus overcoming limitations inherent to measuring averages over large populations of molecules and cells. Building on single-cell microscopy, which has been performed for several hundred years, recent advances in instrumentation, biological labels and image analysis methods have orchestrated a shift in the way the data are analyzed with attention to quantitative evaluation of cell phenotypes and identifying the sources of their variation in vitro . These approaches resolve molecular heterogeneity that cannot be separated biochemically, including repair complexes of different composition and stoichiometry as well as molecular subpopulations with different chemical modifications. Time-trajectories of individual molecules reveal dynamic heterogeneity, such as transient DNA-binding events, weak protein interactions, unsynchronized or stochastic enzymatic activities, and protein conformational dynamics in vivo observations is challenging due to the lack of control over intracellular conditions and difficulty of delivering probes in a non-invasive manner. Most progress on this front has been made using fluorescence microscopy in bacterial model systems. Hereafter, we discuss several example studies and hint at the challenges that need to be addressed in order to apply these techniques to study the organization of DNA repair in vivo.On the molecular scale, single-molecule methods have been very successful in unraveling many mechanisms of reconstituted DNA repair machinery 2We first consider the molecular origins of cell heterogeneity. Single-cell experiments uncovered variation in protein expression levels across cells and over time using genetically encoded fluorescent proteins. These studies showed that gene expression is a stochastic process and a fundamental source of cell individuality at the molecular level e.g. the type and dose of damage, state in the cell cycle, nutrient availability) and translating them into appropriate outputs Bacillus subtilis energy stress response involving the alternative sigma factor \u03c3B is temporally modulated by stochastic pulses of gene activation with the strength of the response controlled by the frequency, not the magnitude of the pulses DNA damage responses belong to a class of cellular decision-making processes sulA gene expression Another example of controlling noise is the bacterial SOS response that counteracts double-strand breaks and replication-blocking lesions by inducing or repressing a large number of genes including those responsible for nucleotide excision repair, homologous recombination repair, mutagenesis, and inhibition of cell division. After cell variation in the SOS response was originally investigated using snapshots of Beyond heterogeneity introduced by stochastic molecular events, DNA damage can have different effects on cells at different stages in the cell cycle or during cell aging. For example, certain types of alkylation lesions block transcription and progression of replication forks, and therefore are less detrimental to cells in a stationary phase. Finally, DNA damage and repair cause mutations and genome rearrangements which irreversibly diversify cells in a clonal population. Taken together, single-cell experiments and theoretical studies suggest that stochastic events and cell variation play an important role in the organization and activity of the repair machinery.3in vitro measurements due to their dependence on many other varying parameters: In the simplest view, the reaction kinetics are dictated by the enzymatic rates and the fluctuating concentrations of substrates and proteins in the cell. Importantly, the overall repair rate also includes the search time to locate a repair site, which itself depends on the protein mobility as well as the concentration, spatial distribution, and accessibility of the sites in the cell. These factors are further influenced by the local structure and global packaging of chromosomes. Substrate affinities and enzymatic rates may be enhanced by chemical modifications and cooperation with other repair factors that signal damage sites, or alternatively be repressed by competing enzymes in the case of overlapping, branching or conflicting repair pathways. We summarize quantitative fluorescence microscopy approaches that address these aspects, in particular the spatial distribution and movement of proteins in cells.Building quantitative models of DNA repair is a difficult task because the determining factors, namely the reaction kinetics of the repair proteins, cannot be directly predicted from Assembly of repair proteins into complexes provides a mechanism to increase their local concentration at damage sites and orchestrate a series of reactions, as for replication forks Transient repair activities in the absence of distinct foci can be probed by measuring protein mobility using Fluorescence Recovery After Photobleaching (FRAP); a method that monitors the replenishment of fluorescent proteins into a previously photobleached area inside single cells A. Rapid in vivo fluorescence correlation spectroscopy Alternatively, changes in protein mobilities can be measured on a confocal microscope using However, extracting quantitative information from FRAP and FCS curves requires precise knowledge of the laser focus size and geometry and works most reliably if the focus is placed inside a spatially homogenous sample, which limits the applicability to small bacteria whose dimensions are similar to the size of a diffraction-limited focus. Particular care has to be taken when analyzing heterogeneous populations of proteins due to ensemble averaging. The data fitting procedures with multiple free parameters and correction terms generally do not allow assigning a unique result for a mixture of diffusing populations or anomalous diffusion modes without making significant model assumptions 4Escherichia coli replication in minimal growth medium involves just two forks per cell, with only few or single copies of a protein type per fork The action of individual molecules is crucial for the function of the whole cell Fluorescence microscopy reaches single-molecule sensitivity by maximizing photon collection using high numerical aperture objectives, minimizing loss of signal with high-quality optical components, and reducing background noise through laser excitation tailored to the fluorophore spectrum and a small detection or excitation volume The advent of super-resolution fluorescence microscopy ex vivo, fixed cells, or slow processes in live cells due to the requirement to record several thousand frames of blinking molecules to reconstruct a single image. Advanced localization analysis algorithms detect higher densities of molecules per frame Resolution down to a few tens of nanometers is achieved by Stochastic Optical Reconstruction Microscopy (STORM) Beyond super-resolution microscopy of cellular structures, PALM can be extended to follow the movement of individual molecules in live cells Furthermore, PALM provides a direct way of counting molecules in cells 5E. coli cells using photoactivated single-molecule tracking In vitro single-molecule studies elucidated how Pol1 binds DNA primers in vivo reaction kinetics, calling for live-cell measurements to investigate the spatial organization and coordination of Pol1 and Ligase in reaction pathways.We recently reported imaging individual base-excision repair events in live Fusions of Pol1 and Ligase with photoactivatable fluorescent protein PAmCherry In vitro studies showed sliding on stretched DNA for a range of DNA-binding and repair proteins including p53 E. coli RNA polymerase appeared to encounter promoters by direct collision without significant sliding in vivo. For lac repressor tetramers, present at about five copies per cell, facilitated diffusion does occur in E. coli, confirmed by measuring single-molecule association rates on pairs of operator sites in close proximity Pol1 and Ligase tracks recapitulated the organization of the chromosome into ellipsoidal lobes Pol1 and Ligase tracks showed several examples of entire repair cycles including the diffusion trajectory to locate a lesion, transient binding for DNA repair, and continued diffusion 6in vivo photophysics. Promising strategies are under development for labeling intracellular proteins with bright synthetic photoswitchable fluorophores in vivo. Single-molecule F\u00f6rster Resonance Energy Transfer (FRET) provides information on intra- and intermolecular distances with millisecond temporal resolution in vivo, purified and labeled proteins were inserted into the cell membrane or internalized by microinjection Key advances to aid live-cell single-molecule imaging, localization microscopy, and molecule counting include the creation of more photostable and brighter fluorescent proteins as well as understanding and controlling their The methods and pioneering studies discussed here show that a molecular description of DNA repair as it occurs in single cells is within reach. The next challenge will be the integration of these observations to uncover the fundamental organization principles of DNA repair.The authors declare there are no conflicts of interest."}
+{"text": "Drosophila larval brain stem cells (neuroblasts) have emerged as an important model for the study of stem cell asymmetric division and the mechanisms underlying the transformation of neural stem cells into tumour-forming cancer stem cells. Each Drosophila neuroblast divides asymmetrically to produce a larger daughter cell that retains neuroblast identity, and a smaller daughter cell that is committed to undergo differentiation. Neuroblast self-renewal and differentiation are tightly controlled by a set of intrinsic factors that regulate ACD (asymmetric cell division). Any disruption of these two processes may deleteriously affect the delicate balance between neuroblast self-renewal and progenitor cell fate specification and differentiation, causing neuroblast overgrowth and ultimately lead to tumour formation in the fly. In this review, we discuss the mechanisms underlying Drosophila neural stem cell self-renewal and differentiation. Furthermore, we highlight emerging evidence in support of the notion that defects in ACD in mammalian systems, which may play significant roles in the series of pathogenic events leading to the development of brain cancers. In the presence of NICD, the corepressors associated with Su(H) binding are displaced with Mastermind and other gene coactivators, leading to activation and transcription of Notch target genes (reviewed in ). Given , E(spl) ,103.dpn activity does not recapitulate the neuronal hypoplasia seen in Notch pathway mutants mutant neuroepithelial cells promotes brain tumour formation [lola mutants, newly born post-mitotic neurons can dedifferentiate and assume neural stem cell-like properties, leading to tumour formation in the optic lobe of the adult brain [Tumours can arise in optic lobes due to dysregulated signalling in neuroepithelial cells or dedifferentiation of neurons. Derepression of the Hippo pathway in ormation . After normation . In lolalt brain .Drosophila neuroblasts. With the identification of the type\u00a0II neuroblast lineages in Drosophila that are analogous to mammalian neural stem cell lineages, we anticipate that unravelling the molecular machinery controlling the self-renewal and differentiation of type\u00a0II neuroblasts and INPs will provide valuable insights relevant to our understanding of mammalian neural stem cell biology and the pathological processes involved in neural stem cell-dependent brain tumour formation and disease progression.Much of our basic knowledge about the molecular machinery controlling neural stem cell homoeostasis and ACD has been gained from Although the core components and the regulatory machinery needed for the segregation of asymmetric cell fate determinants in the neuroblast have been determined, it remains largely unresolved how their asymmetry translates into different cell fate acquisitions by their progeny. In type\u00a0II neuroblast lineages, the INPs are subject to progressive restrictions in their developmental potential, thus allowing them to undergo a limited number of cell division cycles to generate GMCs that give rise to post-mitotic neurons without disrupting the homeostasis of the neuroblast pool. The molecular gatekeepers and mechanisms upholding the developmental barrier, which under normal conditions prevent immature INPs from dedifferentiating and assuming neural stem cell-like properties, are only now slowly beginning to be identified. This area of research deserves special focus, as the developmental switch from neural stem cell to precursor cell identity is a likely key event in the pathogenic cascade responsible for the transformation of neural stem cells to tumourigenic cancer stem cells.Drosophila research in the coming years. Advances in lineage tracing and single-cell transcriptome analysis technologies can be readily adopted for use in this model organism, which will allow us to dissect the molecular identity of individual cells in the fly brain, as well as identify new Notch target genes involved in the complex interplay of genetic networks generating the cell type\u00a0diversity of the brain.The brain consists of a vast variety of neuronal cell types. How this cellular diversity is generated is one of the greatest unsolved mysteries found in the intersection between stem cell and developmental biology. It is clear that the Notch signalling pathway plays a pivotal role in this process. How Notch signalling asymmetries integrate into the spatiotemporal molecular code underlying neuronal cell diversity promise to be a fruitful avenue of Drosophila neuroblasts. The type\u00a0II neuroblast lineages are an excellent comparative model for the study of mammalian neural stem cell lineages due to the presence of analogous transit-amplifying cell populations, which may be regulated by evolutionarily highly conserved mechanisms. In the future, it is critical to further understand how INPs undergo maturation and how they are prevented from dedifferentiation. The neuroepithelial stem cells in the larval optic lobe will continue to serve as an alternative good model to study the transition from SCD to ACD as well as tumourigenesis. Besides, a recent Drosophila study revealed that mutations in l(3)mbt cause brain tumour induction due to soma-to-germline transformation of the l(3)mbt-deficient cells [Drosophila are likely to provide important insight into the pathological mechanisms underlying the generation of soma-to-germline transformation-induced tumours.A number of promising research directions are emerging in the study of nt cells . In humant cells ). StudyiDrosophila neuroblast self-renewal, cell fate specification and ACD regulation may be readily applicable and transferable for the unravelling of the mechanisms governing human neural stem cell biology and the pathological lesions underlying tumour formation derived from cancer stem cell populations. In this review, we present results from recent studies, which shows that the ACD apparatus and regulatory machinery required for polarity axis formation and control of ACD are operational in a number of neuroblastoma cell lines, and in human and rodent brain tumour specimens. Importantly, ACD seems to be compromised in brain tumours with a preponderance of SCD over ACD compared with wild-type tissue. This change in mode of cell division in cancer stem cells is accompanied with cell fate specification defects promoting a tumourigenic phenotype in the resulting progeny. Thus, these results encouragingly suggest that many of the molecular players and cellular processes identified in Drosophila neuroblasts are also actively involved in regulating human neural stem cell lineages.The genes encoding the core proteins of the ACD apparatus and the asymmetrically localized polarity proteins and cell fate specification determinants are highly conserved in evolution. Therefore the findings obtained from studying Drosophila neuroblast model, the genetic amenability of the fly and the availability of large RNAi stock collections targeting most genes in the fly genome are going to help advance and accelerate the discovery of genes regulating ACD. This will further our understanding of the regulatory networks controlling neural stem cell homoeostasis and help elucidate the pathological series of changes underlying the transformation of neural stem cells to tumour-forming neural cancer stem cells.From the perspective of mitigating hyper-proliferation in brain tumours it is quite an interesting and surprising observation that the treatment of neuroblastoma cells with a MYC inhibitor was shown to change the balance between ACD and SCD in favour of cells undergoing ACD . This ra"}
+{"text": "This paper presents a dark region detection and enhancement method with low computational complexity for low-cost imaging devices. Conventional contrast enhancement methods generally have an oversaturation problem while brightness of the dark region increases. To solve this problem, the proposed method first divides an input image into dark object and bright background regions using adaptively partitioned blocks. Next, the contrast stretching is performed only in the dark region. The major advantage of the proposed method is the minimized block artifacts using optimally partitioned blocks using fuzzy logic and a refining step to accurately detect boundaries between two regions. Experimental results show that the proposed method can efficiently enhance the contrast of backlit images without the oversaturation problem. Because of low computational complexity, the proposed method can be applied to enhance very low light-level video sequences for video surveillance systems. Recent advances in digital image processing systems enable users to easily acquire high quality images using compact, inexpensive digital cameras. However, a limited dynamic range is still a bottleneck of the camera technology is a global contrast enhancement method for solving the unbalanced illumination problem in the image clustering method that estimates the distribution of the brightness in the image to adaptively select the optimal threshold value color space, and performs contrast enhancement for only V channel, which contains brightness information. To evaluate the effectiveness of the proposed method, this paper compared the proposed method with gain-controllable clipped histogram equalization (GC-CHE) is computed asTable The gain-controlled clipped histogram equalization (GC-CHE) method (Kim and Paik In order to demonstrate the performance of the proposed method, we first used subjective comparison as shown in Fig. This paper has presented a method to enhance the contrast of two-mode brightness image. Conventional contrast enhancement methods have over-saturation and color distortion problems. To solve these problems, the proposed method divides the image into dark and background regions using adaptively partitioned blocks by two optimal threshold values computed by fuzzy C-means clustering in the V channel of the HSV color space. The proposed contrast stretching process is performed only in the detected dark region. The major advantage of the proposed method is the minimized block artifacts due to adaptively partitioning the image according to the optimal threshold and the refining step to detect the dark regions. The proposed method automatically segments backlit region and the background region. It does not need manual seed region selection for segmentation and has low segmentation complexity than heavy segmentation methods such as graph cut-based method. Experimental results showed that the proposed method can better enhance the contrast than existing methods in the sense of both minimizing over-saturation in the bright background region and preserving details in the dark region."}
+{"text": "A 7-lb, 39-week-old newborn was born to a 45-year-old G14P8238 woman by cesarean delivery for prolonged rupture of membranes. The patient presented with desquamation of the palm and a leathery appearance of the skin to the right dorsal hand and circumferential forearm with frank ischemia to the thumb.What are the causes of neonatal compartment syndrome?What factors correlate with neonatal compartment syndrome?What are the signs and symptoms of neonatal compartment syndrome?What options are available for the treatment of neonatal compartment syndrome?,The cause of neonatal compartment syndrome is often unclear. The literature differentiates the causes for compartment syndrome as either extrinsic or intrinsic. Extrinsic causes include oligohydramnios, umbilical loops, or amniotic bands. Intrinsic causes include arterial embolus and neonatal hypercoagulability.1In a case series of 24 patients published by Ragland et al,,In a majority of reported cases of neonatal compartment syndrome, some degree of skin desquamation was noted on the arm as a heralding sign.1,6Treatment options for these patients are often limited and are dependent on the degree of ischemia. A decision to emergently go to the operating room is often clouded by the unclear clinical picture. The risk of anesthesia in newborns is significant, with neonates less than 30 days old having a significantly higher mortality rate than older children.4Amputation in the neonate should be carefully planned. Important goals when considering amputation include preservation of limb length and maintaining good soft-tissue coverage over the bony portions of the extremity. Adequate length and soft-tissue durability are necessary for potential future prosthesis fitting and use. If the neonate undergoes amputation too early, he or she may not have sufficient soft-tissue coverage, which can limit the ability to preserve adequate length. This was an important consideration in our patient who will likely undergo delayed amputation in hopes of preserving soft-tissue coverage and limb length.To some extent, neonatal compartment syndrome continues to remain an enigma. Because of the low incidence and limited discussion in the literature, there is not a clear understanding of causation for the event or correlating factors. This syndrome displays a varied clinical presentation and therefore treatment plans for each neonate should be individualized."}
+{"text": "To provide an educational update on structural imaging appearances of neuroendocrine tumours (NET), in the age of molecular imaging.PET/CT with Ga-68 DOTA-TATE and F-18 fluorodeoxyglucose (FDG) is providing new understanding of neuroendocrine tumours including patterns and heterogeneity of disease. This is also providing new insights of structural imaging findings including CT and MRI. It is also important to be aware of the limitations of PET/CT imaging, and we outline indications where structural imaging has a high impact for patient management. These changing paradigms are translating to revised imaging protocols in our institution that are enabling personalised medicine with appropriate selection of management for an individual patient. It is also allowing us to understand the structural imaging appearances of heterogeneity within the same tumour type. A range of new targeted therapies including peptide receptor radionuclide therapy (PRRT) are now available to treat patients with non-resectable metastatic NET. New patterns of response are emerging which are important to recognise, including cystic necrosis which may initially masquerade as progressive disease due to enlargement.We have a large population of patients with neuroendocrine tumours at Peter MacCallum Cancer Institute, providing wide experience of this spectrum of imaging findings across various subtypes of NET. We present a pictorial review of our experience."}
+{"text": "Iron is required in a variety of essential processes in the body. In this review, we focus on iron transport in the brain and the role of the divalent metal transporter 1 (DMT1) vital for iron uptake in most cells. DMT1 locates to cellular membranes and endosomal membranes, where it is a key player in non-transferrin bound iron uptake and transferrin-bound iron uptake, respectively. Four isoforms of DMT1 exist, and their respective characteristics involve a complex cell-specific regulatory machinery all controlling iron transport across these membranes. This complexity reflects the fine balance required in iron homeostasis, as this metal is indispensable in many cell functions but highly toxic when appearing in excess. DMT1 expression in the brain is prominent in neurons. Of serious dispute is the expression of DMT1 in non-neuronal cells. Recent studies imply that DMT1 does exist in endosomes of brain capillary endothelial cells denoting the blood-brain barrier. This supports existing evidence that iron uptake at the BBB occurs by means of transferrin-receptor mediated endocytosis followed by detachment of iron from transferrin inside the acidic compartment of the endosome and DMT1-mediated pumping iron into the cytosol. The subsequent iron transport across the abluminal membrane into the brain likely occurs by ferroportin. The virtual absent expression of transferrin receptors and DMT1 in glial cells, i.e., astrocytes, microglia and oligodendrocytes, suggest that the steady state uptake of iron in glia is much lower than in neurons and/or other mechanisms for iron uptake in these cell types prevail. However, in conditions with excess iron uptake from the gut or parenteral iron infusion, the iron-binding capacity of transferrin can be exceeded leaving to pathological deposition of iron widely in the body, a clinical condition called hemochromatosis It facilitates iron uptake at the apical cell membrane in for instance duodenal enterocytes , and Ni2+, VO2+, Pb2+ (group 2), but with decreasing efficiency, and group 1 being markedly more effectively transported than group 2. Zn2+ is not transported by DMT1 family. This highly conserved protein family consists of a varied group of membrane-bound divalent cation transporters and TMD6 are crucial for Nramp symport of metal ions and H+ ions mouse and in the Belgrade rat. Both of these rodents have a spontaneous G185R missense mutation in DMT1 located in the conserved TMD4 region , Belgrade rats absorb some intestinal iron despite defects in DMT1 function. A murine DMT1 knockout model shows a more severe phenotype than seen in the animals with the G185R missense mutation .The gene expression of the DMT1 in the brain presumably solely relies on the 1B isoform of the N-terminal that is expressed together with both IRE isoforms (+/\u2212 IRE) in the mouse brain Receptor-mediated transcytosis leading to release of holo-transferrin inside the brain interstitium; and (2) Receptor-mediated endocytosis of transferrin followed by reduction of iron inside endosomes and retro-endocytosis of apo-transferrin to the luminal surface. Fe59Fe-125I] transferrin leads to formation of non-transferrin-bound 59Fe in the brain, which also favors hypothesis I on iron being detached from transferrin within the brain endothelial cells , there is no evident quantitative transport of transferrin through the BBB in an effort to explain the apparent absences of DMT1 and ferroportin, it was hypothesized that iron would be transported through the brain endothelial cells without the involvement of an endosomal escape mediated by DMT1 with little or no iron being pumped out of the trafficking vesicles into the cytosol (Moos et al., s Figure targetins Figure . Gene exs Figure , which cs Figure . On the s Figure . Therefos Figure . Furthers Figure . We belis Figure . In supps Figure . ProbablA recent study suggests that brain endothelial cells should be regarded as more than a simple conduit where iron is merely transported through, but as a reservoir of great importance in the regulation of brain iron homeostasis via signaling from the brain interior to regulate the trafficking of the transferrin receptors cycling (Simpson et al., Whether circulatory iron excess leads to iron deposition in the brain in hemochromatosis is site of dispute. Recent studies imply that hereditary hemochromatosis can affect the handling and acquisition of iron with neurons and glia (Bartzokis et al., In contrast to brain capillaries, neurons upregulate their expression of the transferrin receptor and transferrin binding in iron deficiency (Moos et al., in vitro (Pelizzoni et al., in vivo. Concerning a role for DMT1 for non-transferrin bound uptake in vivo the evidence is unclear. Probably, such uptake would require the expression of the 1A isoform in the cellular membrane of neurons but this is not the case (Pelizzoni et al., Neurons take up non-transferrin bound iron The role of DMT1 for neuronal iron handling in pathological studies is vaguely studied, but some interesting data have occurred. Mice mutated in DMT1 better overcome the toxic insult than control littermates in an experimental model for Parkinson\u2019s disease, probably because the tendency towards iron accumulation is reduced (Salazar et al., in vitro but the in vivo evidence is more scarce (Burdo et al., in vivo but clearly in vitro and in primary rat astrocytes (Qian et al., in vivo and in vitro conditions could possibly be attributed to the much higher proliferating state of cultured cells in vitro.There is solid evidence for DMT1 expression in astrocytes Western blot analyses of DMT1 purified from neurons and astrocytes show that the molecular mass of DMT1 in the two cell types differs (Pelizzoni et al., Cultured astrocytes seem to harbor distinct routes through which NTBI enters the cells. One route mediates the uptake of ferrous iron and depends on DMT1 and ascorbate (Lane et al., The importance of DMT1 for cellular iron uptake is evident, but many questions regarding its regulation remain. Insight into this highly complex regulation will increase the understanding of cellular iron uptake among neurons and glia and shed light on the treatment of diseases with altered iron metabolism. Vital questions on the understanding of iron transport at the BBB not only includes the role of DMT1, but also the roles of proteins like Steap and ferroportin for iron transport. Future studies should address these proteins and their roles for iron transport in experimental models of the BBB.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Genes work in concert as a system, not as independent entities, to mediate disease states. There has been considerable interest in understanding variations in molecular signatures between normal and disease states. The selective-voting convex-hull ensemble procedure accommodates molecular heterogeneity within and between groups and allows retrieval of sample-specific sets and investigation of variations in individual networks relevant to personalized medicine. The wor1 was applied to data from the differentially expressed genes. A general idea of the algorithm including levels of parallelism is given in Figure Normalized RNA-seq data for 208 samples from TCGA breast carcinoma data set were downloaded and analyzed by the edgeR package, which identified 2,882 differentially expressed genes with at least a 2-fold difference between tumor and normal samples and at 1% false discovery rate. The convex-hull voting methodA parallel-for loop is used within the R code allowing multiple processors within a node to concurrently perform the voting calculations of different sample pairs within one iteration. Then multiple jobs are submitted to perform the randomized iterations. This turns a computationally intensive problem into a data intensive problem since each iteration produces just over 6 GBs of data.The final runtime of one iteration of the large dataset was just under 34 hours and up to 32 iterations can run concurrently. The entire run of 100 iterations using this large data set took less than a week time.Future work will involve the parallelization of the entire computationally and data intensive steps in a way that reduces the complexity of job submission and scalability of the entire job. Computing paradigms such as Hadoop are being explored for this task."}
+{"text": "Spontaneous activity patterns propagate through many parts of the developing nervous system and shape the wiring of emerging circuits. Prior to vision, waves of activity originating in the retina propagate through the lateral geniculate nucleus (LGN) of the thalamus to primary visual cortex (V1). Retinal waves have been shown to instruct the wiring of ganglion cell axons in LGN and of thalamocortical axons in V1 via correlation-based plasticity rules. Across species, retinal waves mature in three stereotypic stages (I\u2013III), in which distinct circuit mechanisms give rise to unique activity patterns that serve specific functions in visual system refinement. Here, I review insights into the patterns, mechanisms, and functions of stage III retinal waves, which rely on glutamatergic signaling. As glutamatergic waves spread across the retina, neighboring ganglion cells with opposite light responses (ON vs. OFF) are activated sequentially. Recent studies identified lateral excitatory networks in the inner retina that generate and propagate glutamatergic waves, and vertical inhibitory networks that desynchronize the activity of ON and OFF cells in the wavefront. Stage III wave activity patterns may help segregate axons of ON and OFF ganglion cells in the LGN, and could contribute to the emergence of orientation selectivity in V1. Retinal waves have been observed in many species including primates . They are preceded by cholinergic waves and localized bursts of activity mediated by gap-junctional coupling among nearby ganglion cells , individual stage III waves encompass smaller areas of the retina and lateral geniculate nucleus (LGN), two major targets of ganglion cell axons mice or cones (12 types). Cone bipolar cells can further be divided into those that respond to light increments and those that respond to light decrements . Pharmacological blockade of either iGluRs or gap junctions is sufficient to block stage III activity in ganglion cells and bipolar cells . Simultaneous recordings of bipolar cell voltage and excitatory input to ganglion cells, indicate that OFF cone bipolar cells release glutamate as their voltage returns to baseline from the wave-associated hyperpolarization . DL-threo-beta-benzyloxyaspartate (TBOA), an antagonist of EAATs, synchronizes excitatory input to ON and OFF ganglion cells, indicating that EAAT-mediated uptake limits the spread of glutamate and is critical for patterning stage III waves and in V1.TeNT mice). In TeNT mice, ON cone bipolar and ON ganglion cells are connected by fewer synapses at maturity and by a Career Development Award from the Research to Prevent Blindness Foundation.The author declares that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "An emerging issue in neuroimaging is to assess the diagnostic reliability of PET and its application in clinical practice. We aimed at assessing the accuracy of brain FDG-PET in discriminating patients with MCI due to Alzheimer's disease and healthy controls. Sixty-two patients with amnestic MCI and 109 healthy subjects recruited in five centers of the European AD Consortium were enrolled. Group analysis was performed by SPM8 to confirm metabolic differences. Discriminant analyses were then carried out using the mean FDG uptake values normalized to the cerebellum computed in 45 anatomical volumes of interest (VOIs) in each hemisphere (90 VOIs) as defined in the Automated Anatomical Labeling (AAL) Atlas and on 12 meta-VOIs, bilaterally, obtained merging VOIs with similar anatomo-functional characteristics. Further, asymmetry indexes were calculated for both datasets. Accuracy of discrimination by a Support Vector Machine (SVM) and the AAL VOIs was tested against a validated method (PALZ). At the voxel level SMP8 showed a relative hypometabolism in the bilateral precuneus, and posterior cingulate, temporo-parietal and frontal cortices. Discriminant analysis classified subjects with an accuracy ranging between .91 and .83 as a function of data organization. The best values were obtained from a subset of 6 meta-VOIs plus 6 asymmetry values reaching an area under the ROC curve of .947, significantly larger than the one obtained by the PALZ score. High accuracy in discriminating MCI converters from healthy controls was reached by a non-linear classifier based on SVM applied on predefined anatomo-functional regions and inter-hemispheric asymmetries. Data pre-processing was automated and simplified by an in-house created Matlab-based script encouraging its routine clinical use. Further validation toward nonconverter MCI patients with adequately long follow-up is needed. \u202218F-FDG-PET/CT analysis of metabolic differences between MCI converting to AD and HC\u2022Large and very well controlled cohorts from EADC-Consortium were investigated.\u2022Data were analyzed by a friendly-to-use Matlab-based script and Support Vector Machine.\u2022Excellent discrimination between MCI and HC \u2022Highest accuracy reported so far in MCI and promising implementation in clinical routine The metrics chosen to evaluate hypometabolism may carry variability in accuracy as high as the difference in accuracy between different biomarkers . The comRecently, using various automated image-based classification methods, efforts have been made to discriminate AD and MCI patients from healthy controls by MRI , FDG-PETMost of these studies were conducted in large cohorts of patients from the Alzheimer's Disease Neuromaging Initiative (ADNI) database and reached a statistical accuracy in discriminating AD patients from controls of 93% when using three biomarkers and highIn fact, although effective disease-modifying drugs are still in the pipeline, there is no doubt that these should be used as earlier as possible in the natural history of the disease since a critical issue in MCI is the possible conversion to AD and biomarkers able to predict this event with high accuracy would allow for all possible therapeutic intervention to be immediately implemented. As a consequence, the need of an early diagnosis in faint symptomatic patients is mandatory and even in the era of amyloid-PET, the demonstration of synaptic dysfunction at specific brain sites maintains a high positive predictive value . In the In the present study we aimed at evaluating the accuracy of a method implementing automated Volume of interest (VOI)-based segmentation and Support Vector Machine in discriminating a large sample of patients with MCI who later converted to AD from healthy controls. All clinical-neuropsychological diagnosis and FDG-PET have been collected in five centers of the European Alzheimer's Disease Consortium (EADC). The accuracy of the present method was evaluated by comparison with an already validated discriminating technique by the a22.1Patient and control selection and definition as well as PET technical details in the five EADC centers have been reported in previous papers . Local e2.22O template in each hemisphere (90 VOIs) as defined by the AAL Atlas .The dataset to be analyzed was obtained by an in-house created Matlab-based script that automatically processed mean FDG uptake signal intensity from each of the 90 AAL VOIs. The mean signal intensities computed for each VOI were normalized within each subject to the average intensity of the cerebellar VOIs included in AAL as defined by nvvoi,x is the normalized FDG value relevant to the right (r) or left (l) hemisphere and abs stands for the absolute value.Data from control subjects were first analyzed by applying a General Linear Model (GLM) to evaluate the effect of age and gender and consequently correct FDG-PET analyses accordingly. This analysis was restricted to controls in order to separate possible physiological weakening of metabolic activity with age (and gender differences) from the effect of pathological conditions whose probability increases with age. Discriminant analysis was performed by a non-linear classifier based on the Support Vector Machine (SVM) method with Radial Basis Functions . The proThe two basic datasets were made up by the normalized values relevant to the 90 AAL regions and by the normalized values relevant to the 24 anatomo-functional homogeneous meta-VOIs. Two other datasets were obtained by adding hemispheric values to each of the previous ones: 90 VOIs plus 45 asymmetry values for the AAL regions and 24 VOIs plus 12 asymmetry values for the meta-VOIs. This last dataset was then the starting point to explore the accuracy of a smaller set of variables by the application of a step-wise backward selection procedure .http://www.pmod.com) was used for automatic, voxel-based evaluation of scans with the \u2018Alzheimer\u2019 option computing the \u2018Probability of ALZheimer\u2019 or PALZ score. The PALZ score we evaluated accuracy, sensitivity, specificity, positive and negative likelihood ratios, odds ratio and the area under the Receiver Operating Characteristic (ROC) curve (AUC). All these parameters were evaluated by a cross-validation procedure which entails the separation between the model fitting and testing to enable generalization of results and to prevent overfitting (the adaptation to features peculiar only to the study sample). Cross-validation was implemented by the \u2018leave-one-out\u2019 technique in which each subject was classified by a model fitted to all remaining ones, so creating a virtually-independent testing set with the same size of the original sample. As a by-product of the SVM training we could calculate the ranking for each region, that is a rough measure of how relevant is a particular feature to the outcome of the classifier.All parameters measuring discrimination capability were estimated with their 95% confidence intervals (CIs) which were computed according to the characteristics of each parameter. The Wald interval with exact binomial probabilities was applied to sensitivity, specificity and accuracy ; CIs forDiscriminant analysis by SVM and following ROC curve analysis and accuracy measurements were performed by using the Statistics Toolbox of Matlab R2014a .3In the preliminary comparison of whole brain FDG values at the group level using SPM8, relative hypometabolism was found in the bilateral precuneus, and posterior cingulate, temporo-parietal and frontal cortices, as expected and for the partition into 24 meta-VOIs . No significant effect was found for age or for the age\u00a0\u00d7\u00a0region interaction. Normalized regional values were accordingly corrected for the effect of gender.GLM analysis of normalized regional FDG values in the control subjects as a function of age and gender showed a significant effect of region, and region\u00a0\u00d7\u00a0gender interaction for both the partition into 90 AAL regions and low negative likelihood ratios (the ratio between the probabilities of negative test in patients with respect to controls) and by the high diagnostic odds ratios (the ratio between the odds of positivity in patients with respect to controls). The values of these parameters are reported in The same measures are reported for the classification based on the PALZ-score. We first considered the classification based on the standard fixed threshold which yielded a high specificity (.92) but a relatively low sensitivity for MCI-converter patients. A different threshold (8116) drawn from the point on the ROC curve closer to the optimal one (sensitivity\u00a0=\u00a0specificity\u00a0=\u00a01) yielded a higher sensitivity (.77) but lower specificity are showed in 4Our data confirm and strengthen not only the value of FDG PET analysis as a valuable tool in the diagnostic process for AD but also the capability of automated classifiers to accurately identify the disease at the stage of MCI, in our sample on average 2\u00a0years before conversion.In a clinical setting in which neuroimaging is considered to be a supportive feature, effective tools for automatic identification of AD-related hypometabolic patterns at the individual level are needed. In this respect, the relevance of automated image-based classifications in clinical routine increases if the implemented method will overcome the accuracy of 90%, reached by the consensus diagnostic criteria for AD as validated against neuropathology , which iThe proposed method shows an accuracy of 91% in discriminating MCI-converters from healthy controls with an area under the ROC curve of almost 95% being superior to previous investigations in MCI patients applying similar techniques based on unimodal biomarkers and reporting sensitivity and specificity slightly higher than 80% .In this respect the accuracy of our analyses is comparable to those of investigations seeking to classify AD-dementia and healthy controls , even whWe compared our results with the ones obtained by the PALZ-score, a procedure which was applied to discriminate AD patients from healthy elders with high sensitivity and specificity, both around 93% according to Besides the high accuracy achieved by our classification method, its potential interest in everyday clinical routine lies in the implementation of a readily available anatomical atlas and in the use of an in-house Matlab-based script able to assess and sort fully automatically in a few minutes the uptake values in more than hundred segmented VOIs and meta-VOIs making them available for further statistical analyses. The processing time and the use of the script are easier than similar VOI and meta-VOI analyses in which computation time is longer and automation procedures are more complex .The Parahippocampus Gyrus/Amygdala/Hippocampus/Insula complex was found to be among the most valuable 6 meta-VOIs in discriminating MCI-converters from controls both for its uptake values and for asymmetry index. This replicates the findings of Gray et al. who found by SVM, in AD and healthy control cohorts, the right hippocampus and amygdala to be among the few regions showing changes in cross-sectional and longitudinal data, the amygdala being the only region accounting for the difference between stable and converting MCI . The impOn the other hand, although MCI/AD diagnostic criteria usually point to temporo-parietal and posterior cingulate cortex hypometabolisms we also found the frontal and orbitofrontal cortices among the predictors accounting for the highest accuracy both for uptake and asymmetry values. These regions involved in episodic memory encoding and retrieval have been previously described to be hypometabolic in MCI converters in several studies and corrThe presence of the Postcentral Gyrus/Precentral Gyrus/Supplementary Motor Area complex among the most discriminating meta-VOIs underscores an interesting methodological issue. These regions showed relatively increased uptake at the group level as compared to controls (results not shown), likely due to the semi-quantitative nature of the analyses, that is, in a context in which large portions of the brain have a relatively decreased uptake, preserved regions show a proportionally higher uptake. The higher the difference between affected and spared regions, the higher the probability of neurodegeneration. This is consistent with the study by Chen and coworkers analyzing changes in FDG uptake in MCI and AD patients . LookingThe evaluation of asymmetries added value to the analyses and fits with the clinical experience in image reading that often highlights differential hemispheric uptake at the very early stages of the disease while bilateral and more symmetric involvement is rather a feature of overt stages . On the A rather unexpected result of this study is the lack of a statistically significant effect of age on brain metabolism. The effect of aging on brain blood flow and metabolism is indeed a well known phenomenon, especially in the frontal regions . HoweverA limitation of the study is that MCI-converters were discriminated only with respect to healthy controls. Further studies are needed to test if the capability of the used automatic classifier to identify MCI patients about 2\u00a0years before conversion will also apply to cohorts of MCI-non-converting to AD or to patients bearer of other confounding pathological conditions. In this respect to properly select the latter groups for statistical analyses a follow-up time as long as 7\u00a0years is required and thesIn conclusion, in this study we reached a particularly high accuracy in discriminating MCI-converters from healthy controls thanks to the application of a non-linear classifier based on SVM preceded by individuation of anatomo-functional meta-VOIs, normalization to cerebellum and evaluation of inter-hemispheric asymmetries. It has to be underscored that this quite complex and time-consuming data pre-processing was automated and simplified by the in-house created Matlab-based script encouraging its implementation in clinical routine to assist in the diagnosis of AD in aMCI possibly along with MRI and CSF biomarkers.Even in the era of amyloid PET imaging that has been licensed by regulatory Agencies to exclude rather than to confirm AD, FDG-PET maintains a role not only as a marker of disease evolution but also as an important diagnostic biomarker in the early stages of the disease.None of the authors declares any conflict of interest."}
+{"text": "The inferior fronto-occipital fasciculus (IFOF) is historically described as the longest associative bundle in the human brain and it connects various parts of the occipital cortex, temporo-basal area and the superior parietal lobule to the frontal lobe through the external/extreme capsule complex. The exact functional role and the detailed anatomical definition of the IFOF are still under debate within the scientific community. In this study we present a fiber tracking dissection of the right and left IFOF by using a q-ball residual-bootstrap reconstruction of High-Angular Resolution Diffusion Imaging (HARDI) data sets in 20 healthy subjects. By defining a single seed region of interest on the coronal fractional anisotropy (FA) color map of each subject, we investigated all the pathways connecting the parietal, occipital and posterior temporal cortices to the frontal lobe through the external/extreme capsule. In line with recent post-mortem dissection studies we found more extended anterior-posterior association connections than the \u201cclassical\u201d fronto-occipital representation of the IFOF. In particular the pathways we evidenced showed: a) diffuse projections in the frontal lobe, b) fronto-parietal lobes connections trough the external capsule in almost all the subjects and c) widespread connections in the posterior regions. Our study represents the first consistent in vivo demonstration across a large group of individuals of these novel anterior and posterior terminations of the IFOF detailed described only by post-mortem anatomical dissection. Furthermore our work establishes the feasibility of consistent in vivo mapping of this architecture with independent in vivo methodologies. In conclusion q-ball tractography dissection supports a more complex definition of IFOF, which includes several subcomponents likely underlying specific function. Human cognition is supported by large-scale cortical and subcortical networks subserved by bundles of axons, connecting cortical and subcortical neurons. In the literature, white matter fibers are usually classified as commissural (between hemispheres), projection or association fibers . Particularly the latter are subdivided into short and long association fibers.The inferior fronto-occipital fasciculus (IFOF) is the longest associative bundle and it connects various parts of the occipital cortex, temporo-basal area and the superior parietal lobule to the frontal lobe Post mortem anatomical dissection and in vivo diffusion MRI fiber tractography are current techniques that have enabled the segmentation of specific white matter fiber bundles and have been used to study the main course of the IFOF at the level of the insula and the temporal lobe Even though fiber tractography with the Diffusion Tensor Imaging (DTI) model has strongly contributed to our knowledge about fiber pathways, it suffers from several serious shortcomings in resolving extent, origin and cortical termination The main goal of the present work was the fiber tracking dissection of the anatomy of the IFOF by using a q-ball residual-bootstrap reconstruction of a HARDI data-set in 20 healthy subjects, in order to 1) extend the in vivo diffusion MRI studies with a model suitable of overcoming the well-known DTI limitations, 2) evaluate a new tractography approach for the definition of the IFOF based on a simple single-subject region of interest (ROI) drawing.Research was performed in compliance to the Code of Ethics of the World Medical Association (Declaration of Helsinki) and the standards established by our Institution. The Committee on Human Research at the University of California, San Francisco (UCSF) approved the study protocol. Written informed consent was obtained from all participants.The study cohort consisted of twenty subjects . Handedness was confirmed by the Edinburgh Handedness Inventory scale. Fifteen patients out of twenty resulted right-handed, two left-handed and three with no dominance. All subjects had no history of psychiatric, neurological or cognitive impairment and provided written informed consent to participate in this study.2 in plane resolution) and HARDI datasets were acquired.Subjects were scanned with a Signa 3T General Electric Medical Systems scanner. 3D high-resolution T1-weighted IRSPGR atlas using FSL linear and non-linear transformations (FMRIB\u2019s FLIRT and FNIRT registration tools).HARDI datasets were corrected for movement and eddy-current distortions using FMRIB Software Library (FSL). The original gradient table was consequently rotated 2. The signal was fit to spherical harmonics of even orders up to 4 and orientation distribution functions (ODFs) with constant solid angle factor were estimated from the data using the methods of Tristan-Vega et al. 3 seed points per voxel uniformly distributed across the three dimensions.A single plane ROI was defined on the coronal FA color map of each subject. The selected coronal plane was the one passing through the anterior commissure, on which it is easy to select the anterior-posterior (green coded) tracks of the left external/extreme capsule. At this level the coherence and anisotropy of the expected bundles is very high and easily identified. In each subject the seed ROI was defined in order to fully cover this region and a couple of voxels at the margin. The average dimension of the seed ROIs was around 15\u00d715 mmhttp://trackvis.org). In order to select the posterior termination of the IFOF, a coronal plane perpendicular to the ac-pc line was applied at the level where the parieto-occipital and calcarine sulci meet. A careful inspection of results was performed by a neuroradiologist with 8 years experience (EC): firstly we excluded the presence of tracking artifact such as streamlines creating loops or passing through several GM regions; secondly we excluded that susceptibility distortions may have affected the outcome of the tracking Tracking was regulated using an FA threshold\u200a=\u200a0.15 and max angle\u200a=\u200a60\u00b0 as stopping parameters in the algorithm Cortical gray matter segmentation and parcellation was performed with Freesurfer (Desikan-Kyliany Atlas) in order to obtain volumes of interest (VOIs) in the T1-weighted anatomical scans native-space 3 resolution MNI atlas was segmented and parcellated analogously to what was done for the T1-weighted images and used to classify the different subcomponents of the IFOF on a group basis.Streamline density maps were computed in the subjects\u2019 native space and thresholded to obtain binary masks containing all voxels that were visited by at least one streamline in the residual bootstrap tractography. These masks were spatially normalized to the MNI space using the linear and non-linear transformations computed for the co-registration of the FA maps to the FSL MNI atlas. The masks of the different subjects in the MNI space corresponding to the various tracks or sub-components were summed and normalized to obtain percentage probabilistic maps. A 3D rendering of the different tracks was obtained selecting an inferior threshold of 20% on the probabilistic maps using the FSL viewer. The 2\u00d72\u00d72 mmThe IFOF was successfully identified using q-ball in all the subjects. The resulted tracks were more extended than the \u201cclassical\u201d fronto-occipital representation of the IFOF . For claFibers we identified spread towards different portion of the frontal region when entering the frontal lobe \u20135. BasedAt the level of the external/extreme capsule IFOFq fibers were gathered together. As they entered the temporal stem they spread and project to lingual, pericalcarine and lateral occipital cortices , cuneus . IFOF function and anatomy are still matter of debate. Recent findings have raised questions about the detailed cortical connectivity of the IFOF. Direct cortical stimulation results in brain tumor patients suggested IFOF might contribute to language functions and might represent a crucial pathway of the ventral semantic stream Since last century (Dejerine 1895) anatomists have formulated a classical definition for the IFOF as an association pathway between ventro-occipital and orbitofrontal regions. In vivo tractography (DTI) results reported in DTI atlases of human brain white matter pathways, have corroborated this interpretation For the first time we confirmed in vivo all the previously mentioned novel post-mortem results in a group of 20 healthy subjects with an up to date tractography algoritm such as q-ball. The anatomical dissection approach described by Martino et al. in 14 subjects was able to identify IFOF terminations both within and outside the occipital lobes. Our results are consistent with their anatomical description. In all our subjects there were occipital terminations in both the hemispheres especially towards pericalcarine and lateral occipital cortex. In contrast with Martino\u2019s et al. manuscript there were also terminations towards the lingual gyrus, which they reported being reached by only optic radiation terminations. Due to their proximity and parallel course IFOF and optic radiation In line with Martino et al. findings there were posteriorly extra occipital terminations towards temporal and parietal lobes The second parietal area found to be highly connected (100%) to frontal cortex through the IFOFq was the superior parietal lobe. In their paper Martino et al. refer to this connection as \u201cthe dorsal fibers of the IFOF that course in the superior portion of the sagittal stratum, along the superior portion of the lateral surface of the atrium, terminate into the convexity surface of the superior parietal lobe\u201d. We delineated this portion of the IFOFq in all the subjects. This connection has an inferior to superior path and departs from the rest of the IFOFq, which instead runs caudally around the atrium of the lateral ventricle. Interestingly the superior parietal gyrus through the IFOFq appears to be highly connected with the premotor and prefrontal areas implicated in movement planning -B. Our fOur results provided also new insights into the frontal lobe areas reached by IFOFq termination. The anterior organization of the IFOFq appears to be far more complex than connections that reach just the inferior frontal gyrus and the orbitofrontal cortex. In most of the subjects (19 out of 20) a wide bilateral \u201cfan shape\u201d organization of the IFOFq was found to be directed towards premotor and prefrontal area of the superior frontal and middle frontal gyri . The latter terminations showed larger inter-subjects variability. Therefore, by averaging and applying a threshold to the results on the MNI space, these terminations were not particularly evident on the 3D rendering and 2.By combining q-ball tractography and Freesurfer parcellation we provided on a large group of individuals a consistent demonstration of Sarubbo et al. post mortem findings The previously mentioned paper on spherical deconvolution dissection of fronto-occipital connections External/extreme capsule ROI based dissection approach provided a delineation of the inferior fronto-occipital fasciculus very consistent across subjects. This methodology is efficient and easily applied. This could be really important for example in brain tumor application, where the brain anatomy distortions complicate the fiber tracking results. The anterior commissure is clearly identifiable on the sagittal color map. The coronal plane passing through it, contain the external/extreme portion of the IFOFq. At this level all the IFOFq pathways gather together and pass necessary to this \u201cgate\u201d.th order spherical harmonic in fitting data because the residual bootstrap methodology is more accurate with more degrees of freedom th order harmonics strike a good balance between fitting the data well and preserving degrees of freedom. Although very appealing, we did not use CSD to find tracking directions because the computational times required make the combination of CSD with residual bootstrap tracking impractical.We are aware that diffusion modeling and fiber tracking methodology are techniques quickly developing. Therefore we believe that as novel methods become available an in-vivo delineation of the IFOF more precise and accurate will likely be possible, especially in single subjects. Within tracking methods available nowadays, we chose q-ball residual-bootstrap fiber tracking, mainly because it has been shown to perform better than either deterministic or probabilistic tracking The choice of stopping parameters (FA threshold of. 15 and a 60\u00b0 angle) was based on our experience with our tracking methodology in pre-surgical planning in brain tumors on routinely acquired HARDI protocol There is no convincing in vivo data published to date demonstrating both frontal and posterior termination of the IFOF. We have described an anatomy of the IFOF based on in vivo dissection by q-ball that presents a more complex structure compared to previous results with other diffusion tractography algorithms and ROI definitions. Our results suggest that the IFOF is an associative pathway that does not exclusively connect the inferior ventral portion of the inferior frontal and orbitofrontal region with the occipital lobe. In the frontal lobes our results show a wider spread of projections over the prefrontal cortex, both in the middle and in the superior frontal gyrus. Posteriorly the IFOF appears to be connected not only to occipital and occipital/temporal regions but connections toward the inferior parietal were consistently found in all subjects. This complex anatomy of the IFOF revealed by post mortem and confirmed by q-ball tractography is compatible with a complex multifunctional role of this pathway. Other techniques such as functional imaging, magnetoencephalography or subcortical direct stimulation during awake surgery are possible candidates to further validate the existence of a more complex anatomy and functionality of the IFOF."}
+{"text": "The ability to inhibit the activity of the MAPK pathway in BRAF-mutant melanoma has led to profound improvements in clinical outcomes for patients with advanced BRAFV600-mutant melanoma. Notably the additional of a MEK-inhibitor to a type-I BRAF inhibitor results in greater inhibition of MAPK-signaling resulting in improved partial and complete response rates, and prolongation of progression free and overall survival without increasing toxicity in normal cells. Three phase 3 clinical trials have shown highly consistent clinical outcomes defining the combination of a BRAF and MEK-inhibitor as a new standard of care for advanced BRAFV600-mutant melanoma. However resistance to the combination therapy occurs in the vast majority of patients necessitating the development of further novel strategies to overcome resistance. Intriguingly early genomic analyses of tumor tissue from patients progressing on combined BRAF and MEK-inhibition suggest reactivation of the MAPK-signaling as one mechanism of resistance. One strategy to overcome this is to inhibit MAPK-signaling downstream at key signaling nodes such as the cell cycle regulator CDK4. Our preclinical studies show that adding the CDK4-inhibitor palbociclib to a BRAF inhibitor will prevent the emergence of resistance. An alternative strategy is to combine BRAF-inhibitors with therapies that target other mechanisms of disease control such as the host response or tumor metabolism. It is clear that therapeutic combinations either sequentially or concurrently, will continue to define new standards of care for patients with advanced BRAF-mutant melanoma."}
+{"text": "The heart is the principal site of involvement in non-hereditary ATTR amyloidosis and a major driver of treatment options and prognosis in hereditary forms of the disease. The goals of cardiac imaging in amyloidosis are to aid diagnosis, provide prognostic information, track disease progression and evaluate response to therapy.Echocardiography has long been the mainstay of cardiac evaluation in amyloidosis, particularly that of diastolic dysfunction, but its precision is limited and both inter and intra-observer variability constrain its capacity to detect changes. The recent refinement of myocardial strain imaging provides more reproducible and more sensitive evaluation of systolic impairment, which may be overlooked in amyloidosis, and the longitudinal strain pattern of relative apical sparing strongly supports diagnosis of amyloidosis.Two investigations that are transforming our understanding of cardiac amyloidosis are bone scintigraphy and cardiovascular magnetic resonance (CMR).CMR with gadolinium contrast has proved to be invaluable for identification of cardiac amyloid, showing characteristic patterns of global subendocardial and transmural late gadolinium enhancement associated with abnormal myocardial and blood pool kinetics. The recent refinement of phase-sensitive inversion recovery sequence is highly sensitive and specific, producing findings that are virtually pathognomonic for amyloid. CMR is inferior to echocardiography for evaluating diastolic function but can assess the heart's structure and systolic function with greater accuracy and precision. A key advantage of CMR is its unique ability to give insight about tissue composition through myocardial tissue characterization. T1 mapping studies can quantify the massive expansion of the extracellular space caused by amyloid deposition as well as evaluating the myocyte response to it, i.e. associated hypertrophy or cell loss. The ability to independently track changes in amyloid load and myocardial cell mass will be invaluable in assessing new therapies. One significant limitation of CMR is its incompatibility with most implanted pacemakers and ICDs, an issue that may be addressed by the development of dynamic equilibrium CT, in which gated five minute contrast-enhanced scans have shown excellent potential for diagnosis and quantification of cardiac amyloid.99mTc-3, 3-diphosphono-1, 2-propanodicarboxylic acid (DPD) localizes to the heart in patients with cardiac ATTR amyloidosis with incredible sensitivity and high specificity. The mechanism remains unknown, but virtually all patients with clinically significant cardiac ATTR amyloidosis show Grade 2 or greater localization to the heart using the simple Perugini Grade 1-3 scoring system. Indeed, scans in apparently healthy individuals who have undergone predictive genetic testing for hereditary ATTR amyloidosis have shown that Grade 1 DPD uptake occurs before symptoms or abnormalities on echo or CMR have developed, reflecting the earliest evidence of cardiac ATTR amyloid. DPD scintigraphy is not completely specific for ATTR amyloid in that positive scans occur in a small proportion of patients with cardiac AL amyloidosis and some other very rare types, but Grade 2 or 3 cardiac uptake in the presence of a consistent echo and/or CMR and in the absence of a monoclonal gammopathy is in practice sufficient to make a non-invasive diagnosis of cardiac ATTR amyloidosis.It has been known for decades that bone scintigraphy tracers can localize to cardiac amyloid deposits, but the enormous potential of this tool has only been fully realized in recent years. Studies have confirmed that"}
+{"text": "A-rho and GABAA receptors, has a dichotomic action on radially migrating neurons by acting as a GO signal in lower layers and as a STOP signal in upper cortical plate (CP), respectively. Metabotropic GABAB receptors promote radial migration into the CP and tangential migration of interneurons. Besides GABA, the endogenous GABAergic agonist taurine is a relevant agonist controlling radial migration. To a smaller extent glycine receptor activation can also influence radial and tangential migration. Activation of glutamate and GABA receptors causes increases in intracellular Ca2+ transients, which promote neuronal migration by acting on the cytoskeleton. Pharmacological or genetic manipulation of glutamate or GABA receptors during early corticogenesis induce heterotopic cell clusters in upper layers and loss of cortical lamination, i.e., neuronal migration disorders which can be associated with neurological or neuropsychiatric diseases. The pivotal role of NMDA and ionotropic GABA receptors in cortical neuronal migration is of major clinical relevance, since a number of drugs acting on these receptors may disturb the normal migration pattern when present during early corticogenesis.Neuronal migration in the cortex is controlled by the paracrine action of the classical neurotransmitters glutamate and GABA. Glutamate controls radial migration of pyramidal neurons by acting primarily on NMDA receptors and regulates tangential migration of inhibitory interneurons by activating non-NMDA and NMDA receptors. GABA, acting on ionotropic GABA During early brain development, mostly during embryonic phases and in some species also during early postnatal periods, newly generated neurons must migrate from their site of origin to their final target in a distinct brain area and a certain subregion, e.g., a specific layer at a certain site of the cerebral cortex. The distances that neurons must travel depend on the cell type and on the species and range from a few hundred micrometers to many millimeters. One exciting question in neuroscience is how newly generated neurons find their correct way to their final position. Over the last two decades we learned that the neuronal migration process is controlled by a number of different mechanisms. Transcription factors control the identity and the laminar position of developing neurons -derived cortical interneurons in the MZ of flat-mount cortices fulfill two important and different functions in the embryonic cortex Figure . On the reelin, which is secreted from early born Cajal-Retzius neurons located in the MZ 12.5) and migrates tangentially over long distances from their generation site at the pallial-subpallial boundary to the CP to the developing cerebral cortex the AMPA/kainate receptor, a usually Ca2+-impermeable glutamate receptor. Three (GluR1-3) of the four known subunits for AMPA receptors are expressed at prenatal stages in the developing cortex, while the GluR4 subunit appears only postnatally the NMDA receptor, a Cain vitro studies using different models of cortical neuronal migration indicate that NMDA receptors also control radial neuronal migration in the cerebral cortex. In cell dissociates of murine embryonic cortical cells and cortical slice cultures, Behar et al. -like kinases . In addition, a Ca2+ increase also activates Lis1-dependet rho-kinases, which are involved in connecting the microtubules in a Clip170 dependent manner to the actin cytoskeleton and dynein motor complexes . Interestingly, mutations in Lis1 and DCX have been directly linked to human neocortical migration disorders and micromolar GABA initiated chemokinesis (increased random movement). In a subsequent study Behar et al. GABAB receptor controlled the migration from the IZ into the CP; and finally (iii) GABAA receptor activation provided the stop signal to terminate migration in the upper CP during late embryonic stages accelerated radial migration in the murine neocortex reducing presynaptic glutamate release; (iv) inhibiting glutamate receptor function; and (v) modulating neuronal activity by inhibiting voltage-gated sodium and Ca2+ channels. The most potent anti-epileptic drugs are often unspecific and act via several of these mechanisms. In experimental studies, anti-epileptic drugs were administered in clinically relevant doses to pregnant rats during the last week of gestation , anesthetics required for surgical operation of pregnant women, or drug abuse may have profound effects on neuronal migration patterns in the cortex of the unborn child. These drugs often act on glutamate and/or GABA receptors and, when reaching the immature brain, may change the migration pattern of cortical pyramidal cells and GABA interneurons. Anti-epileptic drugs have a wide range of actions and at different developmental periods? The answer to this question will provide important information to understand tangential and radial migration patterns.What are the roles of other transmitter system beside glutamate and GABA? There are a few reports that other classical neurotransmitters like dopamine or serotonin are also implicated in the control of neuronal migration genetic causes of neuronal migration disorders? Although this field strongly developed over the last decade (for review, LoTurco and Bai, What are the migratory pathways and mechanisms in primates? The vast majority of information on neuronal migration comes from experimental studies on rodents. However, some early events in neocortical development are different between rodents and primates (for review Rakic, Although the last two decades provided a large amount of experimental data on the role of glutamate and GABA on neuronal migration in the cerebral cortex, a number of questions need to be addressed in order to understand the function of these two classical neurotransmitters and other transmitters in more detail.In summary, a variety of studies provide substantial evidence that the classical neurotransmitters GABA and glutamate influence neuronal migration and may thus directly contribute to the pathogenesis of neuronal migration disorders. However, the effects of these neurotransmitters are not uniform, but depend on the brain region, identity and maturational state of the migrating neuron and the neurotransmitter receptor subtypes involved. Awareness of the complex interplay between neurotransmitter action and cellular migration processes may help to prevent migration disorders during fetal development.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Brain-derived neurotrophic factor (BDNF) and its receptor tyrosine kinase TrkB support neuronal survival during development and promote connectivity and plasticity in the adult brain. Decreased BDNF signaling is associated with the pathophysiology of depression and the mechanisms underlying the actions of antidepressant drugs (AD). Several transgenic mouse models with decreases or increases in the amount of BDNF or the activity of TrkB signaling have been created. This review summarizes the studies where various mouse models with increased or decreased BDNF levels or TrkB signaling were used to evaluate the role of BDNF signaling in depression-like behavior. Although a large number of models have been employed and several studies have been published, no clear-cut connections between BDNF levels or signaling and depression-like behavior in mice have emerged. However, it is clear that BDNF plays a critical role in the mechanisms underlying the actions of AD. The neurotrophin brain-derived neurotrophic factor (BDNF) supports neuronal survival during development and promotes connectivity and plasticity in the adult brain by activating its tyrosine kinase receptor TrkB or CA3 regions of the HC, which are brain regions implicated in spatial memory and in the regulation of emotionality and mood, leads to antidepressant-like effects and to enhancement of the antidepressant-like activity of paroxetine in rodent behavioral despair models in the human BDNF gene in which valine is substituted with methionine (Met) in codon 66 reduces activity-dependent BDNF release and impairs hippocampal function or other strategies that decrease TrkB activity. Third, there are gain-of-function models that enhance either BDNF expression or TrkB activity. This review will summarize the results from these BDNF and TrkB genetic models that are related to mood disorders.(\u00b1)] mice are vital and fertile. Their BDNF mRNA and protein levels in brain are approximately 50% of their wildtype littermates mice have increased appetite and are usually obese mice also show mild impairments in learning and memory. They display impaired contextual memory but have normal cued memory mice also display impaired fear extinction behavior in a fear conditioning paradigm (\u00b1) mice is indistinguishable from littermate controls mice demonstrate an anxiety- and depression-like behavioral phenotype mice are resistant to classical ADs in models of behavioral despair mice do not show any clear baseline anxiety- or depression-like behaviors, but they are more vulnerable to stress and the effects of ADs are blocked in these mice.The anxiety- and depression-like behavioral phenotypes of these mice are even more complex. Some of the studies found that anxiety-like behaviors of BDNFSpatially restricted BDNF KO mouse lines have been produced by crossing mice carrying floxed BDNF (flBDNF) alleles with lines expressing Cre recombinase under a tissue-specific promoter Table . Mood-reInducible mice with temporally restricted manipulations of BDNF have also been made. In these mice, a pharmacological compound, such as tamoxifen or doxycycline, is used to either activate or inactivate gene expression. Monteggia et al. used thiTo study more localized effects of BDNF deletion, Adachi et al. injectedChen et al. producedThe Met-mice mice have also been tested in several other studies. Both Val/Met and Met/Met knock-in mice show impairments in a spontaneous olfactory discrimination test mice display a 50% reduction in BDNF levels throughout their entire lifespan, their behavioral phenotype is mild and varies from laboratory to laboratory. These discrepancies might be due to developmental compensatory mechanisms, variations in genetic backgrounds mice. The behavioral results vary widely depending on the laboratory and the spatial location and temporal timing of the transgenes.Taken together, the large number of studies using mice with decreased BDNF expression has not yielded any clear connections between depression and BDNF. Several of the studies found opposing behavioral effects or no effects at all. Even though BDNF(\u00b1) mice and other approaches to decrease BDNF signaling have not provided any conclusive evidence regarding the connection between BDNF and depression-like behavior. Therefore, there is growing interest in genetic models of TrkB signaling . This mutation does not influence the activity of the receptor, but if the pharmacologically inert kinase inhibitor 1NMPP1 is given under the Thy1 promoter have enhanced TrkB signaling (Koponen et al., The roles of neurotrophins in depression and in the mechanisms underlying antidepressant effects have been widely studied. BDNF deficient mice are the most used model for these studies. These models have demonstrated a key role for BDNF-TrkB signaling in the mechanisms underlying the actions of ADs (MacQueen et al., By contrast, there is no consensus as to whether decreases in BDNF activity cause depression-like behavior in mice since the results vary between different studies. The main difference between these studies is likely the temporal and spatial resolution of BDNF deficiency. However, other factors, such as developmental compensatory mechanisms, genetic backgrounds (Jacobson and Cryan, Another possible reason for the failure to demonstrate an association between BDNF and mood disorders is that in most mouse models BDNF or TrkB are manipulated in most or all brain areas. However, there is evidence that manipulations of BDNF or TrkB signaling in different brain areas result in differential effects (Eisch et al., In summary, while the importance of BDNF and TrkB in the antidepressant response is clear, further experiments in more refined mouse and rat models and in humans are necessary to clarify the role of BDNF signaling in depression and anxiety disorders.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Familial amyloid polyneuropathy (FAP) is a severe hereditary disease, due to production by the liver of a genetic variant transthyretin (TTR) resulting in tissue amyloid deposits. Cardiac involvement is of major prognostic value. Diphosphonate scintigraphy has been proposed as a diagnostic tool for TTR-related cardiac amyloidosis, but there is no consensus on the optimal radiopharmaceutical. Consequently, we compared the cardiac uptake of two 99mTc-labelled tracers: diphosphono-propanedicarboxylic acid (DPD) and hydroxymethylene diphosphonate (HMDP) in patients with TTR-FAP.122 consecutive patients with TTR-FAP were prospectively included and received randomly DPD or HMDP. Acquisitions (whole-body (WB) and chest SPECT) were performed 3 hours after intravenous injection of the tracer. Quantification of myocardial uptake on WB acquisitions was performed by use of the ratio between the geometric mean of either total or average counts of a region of interest (ROI) drawn over the heart area and the WB total or average counts . Quantification on SPECT acquisitions was performed by the ratio between 3D isocount volume of interest generated over the myocardium and a standard volume in the right lung (H/L). Quantification of soft tissues uptake was performed by use of ratio between average counts of a ROI drawn over the lumbar spine and a ROI drawn over soft tissues of the lower limb (B/ST) on the WB acquisition.The DPD and HMDP groups of patients had similar age , sex , TTR mutation and activity of the tracer . Quantitative parameters derived from whole body acquisition were significantly greater with DPD compared to HMDP as well as H/L derived from SPECT acquisition . The uptake by soft tissues was also greater in the DPD compared to HMDP group .The present study shows that in patients with TTR FAP, the uptake of DPD in heart and other soft tissues is superior to that of HMDP. This suggests that DPD should be prioritized for initial assessment of patients suspected of cardiac involvement of TTR-related amyloidosis. Further study is required to assess whether this difference impacts the diagnostic performance and whether DPD is more accurate for the assessment of therapy response."}
+{"text": "The integration of Human T-lymphotropic virus type I (HTLV-1) is known to be diverse but biased towards genomically active regions. Each infected clone is identified by a unique integration site position. The integration site position is known to be associated with the expression pattern of the provirus and its propensity to expand in vivo but it is not known how it would impact the gene expression of the host genes. The viral transactivator Tax has been shown (mostly in vitro) to be capable of altering the expression of many host genes however it is not known what role the genomic integration site may have in determining the alteration of host gene expression or how the gene expression pattern would vary from one infected T-cell clone to another. We have developed a panel of HTLV-1 infected T-cell clones. CD4+ T-cells were isolated from HTLV-1 infected individuals and cloned by limiting dilution. Each clone was cultured in the presence of integration inhibitor to prevent super infection and defined by a single unique integration site. Uninfected T cell clones were also established in the same way. In order to address this question and to analyze gene expression pattern, total RNAs were isolated from each clone for RNA sequencing (RNA-seq). We will present the results of high-throughput sequencing of the human and viral mRNA, highlighting the similar and variable between the different clones.# Poster award winnder - 2nd place"}
+{"text": "The burgeoning field of epigenetics is beginning to make a significant impact on our understanding of tissue development, maintenance, and function. Epigenetic mechanisms regulate the structure and activity of the genome in response to intracellular and environmental cues that direct cell-type specific gene networks. The inner ear is comprised of highly specialized cell types with identical genomes that originate from a single totipotent zygote. During inner ear development specific combinations of transcription factors and epigenetic modifiers must function in a coordinated manner to establish and maintain cellular identity. These epigenetic regulatory mechanisms contribute to the maintenance of distinct chromatin states and cell-type specific gene expression patterns. In this review, we highlight emerging paradigms for epigenetic modifications related to inner ear development, and how epigenetics may have a significant role in hearing loss, protection, and regeneration. In 1942, C. H. Waddington coined the term epigenetics by combining the words epigenesis and genetics can convert neonatal non-sensory epithelial cells into hair cell-like cells, loss of cellular plasticity at later postnatal ages could largely impact clinical application of this method and histone deacetylases (HDACs). Histones undergo acetylation to yield a more relaxed chromatin conformation resulting from a net change in the overall charge and reduced electrostatic interactions. HATs transfer the acetyl moiety from acetyl coenzyme A to specific lysine residues on the histone tail. Acetylated histones also act as a signal that recruits bromodomain-containing proteins, which are primarily transcription factors and cofactors to target genes activating their transcription have defined a class of developmentally regulated genes as \u201cbivalent\u201d since these genes are marked with both active H3K4me3) and repressive (H3K27me3) histone modifications 3\u20139, Enhancer of Zeste, Trithorax) domain-containing and non-SET domain-containing proteins. The argine-specific protein arginine methyltransferases (PRMTs) are responsible for methylating arginine residues on the histones. HMTs and PRMTs together have over 60 different family members all of which use S-Adenosyl methionine (SAM) as a cofactor and methyl donor group are subdivided into SET is one of the best studied and most mechanistically understood epigenetic modifications that is well conserved among most plant, animal and fungal models was discovered as another relatively abundant cytosine modification in mouse Purkinje neurons and ESCs causes CHARGE syndrome, a multiple anomaly disorder that is a common cause of deaf-blindness in humans and EZH2 (Weaver syndrome) -specific methyltransferase 2D is associated with Kabuki syndrome are associated with both genitopatellar syndrome (GPS) and Say-Barber-Biesecker variant of Ohdo syndrome . Additionally, noise is one of the most common causes of hearing loss, and one of the most common occupational illnesses in the United States. The formation of reactive oxygen species (ROS) is the major cause that underlies the molecular pathology of hair cell death related to noise induced trauma as well as aminoglycoside antibiotic and cisplatin treatment over-expression is a general and powerful approach for regenerative medicine (Cohen and Melton, The epigenetic modifications made during inner ear development remain mostly unknown at this time. However, cofactors of repressive complexes such as NuRD and PRC2 have been reported to be present in the neonatal mouse organ of Corti. The NuRD cofactors including LSD1 are present throughout most of the organ of Corti from E18.5 until P4, then completely absent by P7, and are detectable again from P8 through P21 (Layman et al., Unlike mammalian hair cells, hair cells in the avian basilar papilla and utricle are rapidly regenerated after ototoxic injury (Corwin and Oberholtzer, The cell type specific distribution of histone modifications, DNA methylation, and chromatin remodeling events needs to be characterized during inner ear development from a multipotent progenitor cell to a terminally differentiated cell. The mammalian inner ear offers unique challenges for evaluating the epigenome given the limited number of cells across a diversity of cell types. Transcriptomic analysis of the mammalian inner ear during development by microarray or RNA-seq may provide a starting point for analyzing epigenetic modifications that may regulate the expression of specific target genes and microRNAs (Elkan-Miller et al., Given that epigenetics is a cornerstone of development and cellular reprogramming, it seems likely that understanding and manipulating the epigenome holds enormous promise for preventing and treating hearing loss in humans. Epigenetics also offers an important window to understanding how ototoxic compounds and noise affect gene regulatory networks and how these epigenetic modifications may be manipulated and overcome utilizing epigenetic therapeutics. Understanding epigenetic mechanisms has become a major focus for research in most biological systems. The field of hearing research could greatly benefit from the vast amounts of information that can be garnered from epigenetic work in other biological systems to gain a better understanding of the complex gene regulatory networks being regulated in the inner ear.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Activity of sensory areas continuously varies reflecting both changes in external sensory stimuli and in internal states of the organism that do not necessarily always have a precise relationship to sensory inputs. An important aim in systems neuroscience is to develop quantitative models that may explain how state-dependent representations are generated and how they can be best interpreted. State-dependent modulations of cortical activity are in part mediated by changes in activity of various subcortical neuromodulatory nuclei. A prominent example is the Locus Coeruleus (LC), which can modulate both ongoing changes of cortical states and their responses to sensory inputs. However, a quantitative model of how the temporal fluctuations of LC firing affect ongoing and stimulus-driven primary cortical dynamics is currently missing.Here we investigated how LC modulates the ongoing cortical states and the sensory information carried by cortical firing using a combination of neurophysiological experiments and data-driven dynamic-system models of cortical state changes. We performed simultaneous recordings of neural activity in primary somatosensory cortex and both ipsilateral and contralateral LC in urethane anaesthetized rats during spontaneous activity and during electrical stimulation of the contralateral hind paw. On the basis of this data, we have constructed a novel data-driven dynamical system model of cortical states dynamics. This model extends and generalizes recent simple effective models by incluWe first fitted dynamic systems models of cortical states that either did or did not contain LC-cortical interactions. We found that models omitting the LC noradrenergic input to cortex tend to describe the dynamics of spontaneous activity of S1 cortex reasonably well. However, including ipsilateral LC activity as input to the models make the prediction of cortical states and of single trials responses much better. We then investigated which aspects of the LC dynamics help the model to increase cortical state predictability. We found that ipsilateral LC firing activity at low frequencies (< 10 Hz) correlated positively with slow (1-6 Hz) fluctuations of cortical power. The insertion of ipsilateral LC input to the model captured this dynamics by creating additional low frequency (1-6 Hz) state variation of model activity that correlated, both in power and phase, to those observed in real cortical activity. We finally investigated how these dynamical systems models can be used to predict single trial sensory evoked responses and to understand how this dynamics shapes the information representation of sensory stimuli. We derived an explicit mathematical rule predicting the trial-by-trial variability of cortical responses to stimuli arising from LC-modulated cortical state dynamics, and found that subtracting this variability from single trial cortical responses approximately doubles the amount of mutual information about the somatosensory stimuli that could be extracted from cortical responses."}
+{"text": "Plasmodium falciparum malaria remains one of the most serious health problems globally. Immunization with attenuated parasites elicits multiple cellular effector mechanisms capable of eliminating Plasmodium from the liver. However, malaria liver stage immunity is complex. The anatomic site of priming of naive Plasmodium-specific CD8 T cells, be it in the lymph nodes draining the site of Plasmodium antigen deposition by the mosquito or in the liver, may in fact determine the specificity of the effector CD8 T cells. The participation of particular antigen-presenting cells , acute phase proteins, phagocytic activity, and cytokine-mediated pro- and anti-inflammatory responses are all part of the liver-inherent immune system (Wunderlich et al., The liver is also a central player in the defense against Plasmodium liver stages nor delays parasite development (Sahu et al., Efforts to develop a successful malaria vaccine have been the focus of substantial research activities for decades. Immunization with live-attenuated sporozoites can elicit sterile immunity. Whether attenuation is achieved by irradiation or genetic modification, CD8 T cells play an essential role in the resulting sterilizing protection in several experimental models. Inoculation of infectious sporozoites under chemoprophylaxis also confers long-lasting sterile protection against homologous parasite strains in humans, although the exact mechanism is unclear. Chloroquine, the first drug used for chemoprophylaxis, neither eliminates Unlike whole organism vaccines, most subunit vaccine candidates fail to induce substantial and lasting protection. Novel approaches are therefore under investigation to identify antigens responsible for protection against the different parasite stages (Chia et al., Plasmodium in the liver. A more thorough understanding of the mechanisms leading to sterile protection is a prerequisite for developing a malaria vaccine that protects the 40% of the world's population at risk of infection. We thank all contributing authors for bringing a broad range of expertise to this Frontiers Topic.We hope that this Frontiers eBook offers insight into the many efforts aiming at breaking the life cycle of The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "The activity of the brain exhibits stereotypical patterns at various temporal and spatial scales. Novel techniques such as functional magnetic resonance imaging (fMRI) allow the simultaneous recording of the macroscopic activity from all brain regions while subjects perform various tasks, such as passive hearing and active visual recognition. How neural activity is related to cognitive tasks is a long-standing question for the neuroscience community. This study examines an interesting aspect of this broad question, namely the comparison between the resting state (when the subjects is idle) and evoked activity during a task. Neural activity patterns consist of the correlations of firing activity between cortical regions - or functional connectivity - at a slow time scale (hundreds of ms), which can be related to data obtained from fMRI.The cortex has an intricate architecture of connections, both local and long-range. The latter have been mapped for the whole human cortex using diffusion techniques . A recen"}
+{"text": "Transcranial direct current stimulation (tDCS) modulates cortical neural activity and hemodynamics. Electrophysiological methods measure neural activity while optical methods (near-infrared spectroscopy-NIRS) measure hemodynamics coupled through neurovascular coupling (NVC). Assessment of NVC requires development of NIRS-EEG joint-imaging sensor montages that are sensitive to the tDCS affected brain areas. In this methods paper, we present a software pipeline incorporating freely available software tools that can be used to target vascular territories with tDCS and develop a NIRS-EEG probe for joint imaging of tDCS-evoked responses. We apply this software pipeline to target primarily the outer convexity of the brain territory of the middle cerebral artery (MCA). We then present a computational method based on Empirical Mode Decomposition of NIRS and EEG time series into a set of intrinsic mode functions (IMFs), and then perform a cross-correlation analysis on those IMFs from NIRS and EEG signals to model NVC at the lesional and contralesional hemispheres of an ischemic stroke patient. For the contralesional hemisphere, a strong positive correlation between IMFs of regional cerebral hemoglobin oxygen saturation and the log-transformed mean-power time-series of IMFs for EEG with a lag of about \u221215 s was found after a cumulative 550 s stimulation of anodal tDCS. It is postulated that system identification, for example using a continuous-time autoregressive model, of this coupling relation under tDCS perturbation may provide spatiotemporal discriminatory features for the identification of ischemia. Furthermore, portable NIRS-EEG joint imaging can be incorporated into brain computer interfaces to monitor tDCS-facilitated neurointervention as well as cortical reorganization. Transcranial direct current stimulation (tDCS) is a non-invasive brain stimulation technique that involves application of low intensity direct currents at the scalp for the modulation of central nervous system excitability in humans is defined by neural activity closely related, spatially and temporally, to rCBF. The neurovascular unit (NVU) consists of the endothelium, glia, neurons, pericytes, and the basal lamina Dutta, . NVC dysThe constant supply of ATP using oxygen and glucose is mediated by the regulation of large cerebral arteries and cerebral microvascular pressure contact surface was used for anodal stimulation and a SPONSTIM-25 electrode with 25 cm2 contact surface was used as the return electrode (cathode) for bipolar tDCS surface. If the electrode montages for tDCS and EEG are identical, e.g., when being reciprocally energized, then the tDCS current flow field can serve as the EEG lead vector field assuming the conductivity tensor as a constant scaling factor has already been shown in a stroke patient and detectors based on our prior work and EEG time-series for each hemisphere. Generally, the first IMF contains the highest frequency components and the oscillatory frequencies decrease with increasing IMF index. IMFs containing peak power >50 Hz were discarded and then the log (base-10) transformed mean power of IMFEEG data was computed was selected based on prior work into a set of intrinsic mode functions (IMFs) was performed using the Hilbert-Huang Transform (HHT) for rSO2 starting at the 11th trial, i.e., after cumulative 550 s of anodal tDCS.The cross correlation function with lead/lag < 20 s for the 3rd IMF\u2014the most common across significant positive and negative cross-correlations\u2014is shown in Figure In this methods paper, we investigated the bipolar tDCS montage from our prior works with a software pipeline incorporating freely available software packages to design a NIRS-EEG probe for joint imaging of tDCS-evoked response. The software pipeline was applied in a ischemic MCA stroke case based on our prior works approach to adjust for short separation SD measurement in order to improve the probe sensitivity to brain tissue , France. The publication of this article was funded by the open access fund of the Leibniz Association.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "The cuticle provides a physical barrier against water loss and protects against irradiation, xenobiotics, and pathogens. Components of the cuticle are perceived by invading fungi and activate developmental processes during pathogenesis. In addition, cuticle alterations of various types induce a syndrome of reactions that often results in resistance to necrotrophs. This article reviews the current knowledge on the role of the cuticle in relation to the perception of pathogens and activation of defenses. Arabidopsis thaliana and help to understand its biosynthesis can stimulate the migration of the nucleus inside the conidia toward the site of primary germ tube emergence and accumulation of defense-related genes , a predominant component of the potato cuticle. When etiolated cucumber hypocotyls are gently abraded, cutin monomers from hydrolysates of cucumber, apple, and tomato cutin induce the production of H2O2 protein genes were not associated with cutinase-induced resistance responses of bean leaves in response to cutinase action , ET, or jasmonic acid (JA) pathways and expression of the cutinase gene of F. solani in Arabidopsis thaliana mutants of the SA , ET and of the JA (jar1) pathways clearly show fully independence of cutinase-induced protection on SA, ET, and JA. A number of genes identified from microarray experiments showed an earlier and stronger expression after inoculation with Botrytis cinerea of CUTE plants compared to wild types. Fifteen genes were selected and overexpressed in Arabidopsis thaliana and eight of these provided increased tolerance to Botrytis cinerea. These genes included members of the lipid transfer protein (LTP), the peroxidase (PO), and the protein inhibitor (PI) gene families. Members of the LTPs, PER, and PIs could each contribute in part to the observed resistance induced by Botrytis cinerea in CUTE plants .A number of studies have reported on lcr (lacerata) mutant is impaired in a gene coding for a cytochrome P450 monooxygenase involved in the formation of \u03c9-hydroxy fatty acids in yeast and could be involved in cutin biosynthesis mutant that is characterized by a deficient fatty acid \u03c9-alcohol dehydrogenase activity (bdg (bodyguard) mutants compared to WT plants is allelic to lacs2 (fdh (fiddlehead) is mutated in a gene encoding a protein involved in the synthesis of long-chain lipids (pec1 (permeable cuticle 1) is characterized by a knockout of ATP BINDING CASSETTEG32 (ABCG32), an ABC transporter localized at the plasma membrane of epidermal cells; available evidence suggests that ABCG32 exports cutin precursors for the synthesis of the cuticular layer in the epidermal cell mutant characterized by downregulated ABA-dependent wax biosynthetic genes that could explain this result are not known. In the same article, the authors show that only cutin monomers of SlSHINE3-overexpressing leaves induced the expression of defense genes in tomato mutant exhibits enhanced susceptibility to the biotrophic fungal pathogen E. cichoracearum but enhanced resistance to the necrotrophic fungal pathogens Botrytis cinerea and Alternaria brassicicola. RST1 is plasma membrane protein and is possibly involved in suppressing the biosynthesis of cuticle lipids; the increased levels of cutin monomers and cuticular waxes in rst1 suggest this. Despite this, rst1shows a clear departure from the behavior of other mutants since the permeability of the cuticle is normal . The acp4 mutants were tested in the context of systemic acquired resistance (SAR); they are able to generate a mobile SAR signal from lower leaves inoculated with bacteria but unable to perceive it in the upper leaf. The acp4 also display cuticular defects with reduced levels of fatty acids, alkanes and primary alcohols compared to WT plants associated with ultrastructural changes and an increased cuticular permeability applied to leaves was shown to increase resistance to Botrytis cinerea and lead to the production of reactive oxygen species -carboxy-29,79-dichloro dihydrofluorescein diacetate (DCF-DA) a fluorescent probe for ROS compared to the corresponding wild type ecotype Ler gene, which encodes a nuclear protein of RNA-processing multi-protein complexes, making it likely that small-RNA signaling is involved in the cuticular defect syndrome. The importance of the SE gene was confirmed with double mutants such as lcr-se and bdg-se that suppress the abnormal cuticle syndrome and resistance to Botrytis cinerea. These results support the hypothesis that various cuticular defects might induce a common signaling pathway that depends on the SE gene was developed and used for an datasets . This le SE gene . It willBotrytis cinerea or its inoculation medium through the epidermis wall into the cells where they might trigger a faster and more intensive defense reaction. The surprising potential for defense against Botrytis cinerea unveiled in CUTE plants and in the various cuticle mutants warrants further research to understand the molecular basis of this phenomenon .The evidence provided by the effect of ectopic treatments with cutin monomers, overexpression of cutinase, ectopic treatments with cutinase and various cuticular mutants with increased permeability lead several scenarios that might explain the resistance of plants in relation to defective cuticles . A permeArabidopsis thaliana to Botrytis cinerea. This is intriguing, since Botrytis cinerea releases cutinase and lipase during the penetration of leaves (Arabidopsis thaliana leaves resistance and ROS are induced (in planta is sufficient for penetration but not for inducing resistance. Alternatively, Botrytis cinerea, like other pathogens, might suppress induced defense responses in the plant. One possible suppressor could be oxalic acid, a know pathogenicity factor of Botrytis cinerea (Arabidopsis thaliana against Botrytis cinerea (Botrytis cinerea (Sclerotinia sclerotiorum (Arabidopsis thaliana is susceptible to Botrytis cinerea, despite the release of cutinase and lipase.A puzzling question concerns the full susceptibility of f leaves yet no r induced . Possibl cinerea and supp cinerea . Several cinerea . Also, t cinerea or Sclerrotiorum . This miArabidopsis thaliana mutants or ecotypes that lack an increase in resistance to Botrytis cinerea after treatment with fungal cutinase. A series of mutants and ecotypes could be identified, all displaying an increased in susceptibility to Botrytis cinerea. These results are now being followed up; one predicts that such mutants could be blocked in either a putative receptor for cutinase-generated monomers or alternatively in any step downstream of it.How plants perceive changes in the level of cutin monomers is still not known and is a question that needs to be addressed. The experimental evidence accumulated so far makes it reasonable to assume that plants are equipped to perceive cutin monomers or other related products possibly by receptors. A genetic screening would be an approach of choice to identify such receptors. In fact, we are currently screening Using the available genome-wide gene expression microarray data, one can identify common genetic elements during the resistance syndrome in cuticle deficient mutants. Using the MASTA , differeAnother intriguing question is the chemical nature of the fungitoxicity in the diffusates of cuticular mutants. It is not clear whether the same chemical causes the observed activity for each mutant; a bioassay-assisted chemical identification is under way to clarify this point.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Patients with classic Hodgkin lymphoma (cHL) that has relapsed after autologous or allogeneic transplant have limited treatment options and a poor prognosis. Immunotherapy with agents that target the PROGRAMMED DEATH 1 (PD-1) receptor have demonstrated clinical activity with durable responses in early-phase clinical trials in this patient population; however, patients with a history of allogeneic stem cell transplantation (SCT) were intentionally excluded from participation in those studies due to concerns for reactivation of graft-versus-host disease (GVHD). We describe the clinical course of two patients with advanced cHL and prior treatment with allogeneic stem cell transplantation (SCT) that were treated with the PD-1 inhibitor pembrolizumab. Both patients had no active graft-versus-host disease (GVHD) at the time initiation of therapy and were maintained on low-dose prednisone. Treatment with pembrolizumab was well tolerated and not associated with reactivation of GVHD. Both patients responded and remain on therapy as of November 30, 2015. This report indicates that immunotherapy targeting the PD-1 pathway can be safely administered to patients with cHL and a history of allogeneic SCT and produce tumor responses. Further studies in this patient population are needed. The safety and therapeutic activity of monoclonal antibodies targeting the PROGRAMMED DEATH 1 (PD-1) receptor in advanced classic Hodgkin lymphoma (cHL) has been demonstrated in two recent publications . Both stA 30-year-old man was diagnosed with stage IIA cHL in 2007 and treated with standard ABVD for 6 cycles. No evidence of FDG-avid malignancy was identifiable on PET-CT obtained after 2 cycles. He proceeded to receive adjuvant radiotherapy to the right neck and chest area. His disease relapsed 6 months later and he was treated with salvage ICE followed by autologous SCT in March of 2008. Less than six months after autologous SCT the patient was found to have biopsy-proven relapsed disease in the lungs. He was treated with GVD and underwent nonmyeloablative allogeneic SCT from a matched related donor in January of 2009. His post-transplant course was complicated by acute GVHD involving the skin and gut treated with corticosteroids. He underwent a mediastinoscopy in August 2009 to investigate mediastinal lymphadenopathy and was found to have relapsed disease. Withdrawal of immunosuppression was attempted; however, follow-up imaging demonstrated progressive disease in the fall of 2009. At that time, grade 1 GVHD of the liver was found on biopsy done to investigate elevated transaminases. He arrived at our institution in November of 2009 for a second opinion and was treated with single-agent everolimus as part of a clinical trial (NCT01022996) . After 1The second patient is a 30-year-old man who was diagnosed with stage IIIS cHL in 2008. His disease was initially treated with first-line ABVD followed by adjuvant radiotherapy. He relapsed less than a month after the end of radiotherapy. He was subsequently treated with salvage ICE and progressed after 2 cycles. Therapy with GVD followed and he later underwent autologous SCT in April 2009 with adjuvant radiotherapy. In April 2013 the patient developed biopsy-proven recurrent disease that was treated with brentuximab vedotin followed by GVD with good response. The patient underwent nonmyeloablative allogeneic SCT from a matched related donor in January 2014 without complications or evidence of GVHD. In July 2014 the patient developed biopsy-proven relapsed disease in the axial skeleton with significant pain. Subsequent treatment regimens were ineffective and included single-agent brentuximab vedotin and on-study with panobinostat and everolimus. Similar to patient 1, by July 7, 2015 the patient had exhausted all reasonable therapies and consented to off-study pembrolizumab (2 mg/kg/dose repeated every 3 weeks). At the time of initiation of therapy he had no evidence of active GVHD and was maintained at the dose of 2.5 mg of prednisone daily and remain on treatment without evidence of disease progression. Treatment with pembrolizumab in these two patients was not associated with reactivation of GVHD.The current report is the first to describe the safe and successful use of pembrolizumab in patients with cHL who had previously been treated with allogeneic SCT. Although the PD-1 pathway has been implicated as an escape mechanism for malignant stem cells following allogeneic transplant , data onOur limited experience cannot necessarily be extrapolated to all patients who present with relapsed cHL after having failed previous treatment with allogeneic SCT. It is important to note that both of our patients had no evidence of active GVHD at the time of therapy with pembrolizumab and were maintained a low-dose prednisone regimen. This may have contributed to safe administration of this agent. These encouraging results with respect to safety and efficacy in this important group of patients should spur additional testing of PD-1 inhibitors in this patient population."}
+{"text": "Loligo duvauceli.Recent advances in the insilico virtual screening paves way towards efficient discovery of new drugs on the basis of drug target evaluation and analysis. The present study is thus an attempt to assess the anti-HBV like activity of Bis 2-(ethyl hexyl) phthalate [BEHP] from the black pigmented ink of South Indian squid, Loligo duvauceli were dissected and the ink was subjected to crude solvent extraction. Chromatographic profiles were assessed by TLC and HPTLC. Fractionation of the bio active compounds was done by Silica gel column chromatography and the active fraction was subjected to GC-MS analysis. In vitro analysis of the anti-HBV like activity was assessed by pre incubating the HBV positive serum samples with the active fraction by performing ELISA. In silico virtual screening was analyzed with the latest bio informatics tools and databases.Fresh ink glands from in silico analysis supported the preliminary screening results of ELISA and indicated the anti-HBV like activity of BEHP.TLC and HPTLC profiles yielded a compound with the Rf value of 0.76. The antimicrobial fraction upon GC-MS analysis revealed a chromatogram with nine peaks with BEHP possessing a highest percentage of area normalization (91%) with other few minor constituents. The ELISA results were negative for all the pre incubated HBV positive serum samples. Docking scores and the This present study suggests that BEHP could be a novel anti-HBV agent and a promising candidate to combat viral hepatitis in near future with further clinical and toxicity evaluation."}
+{"text": "Spontaneous and sensory evoked spindle bursts represent a functional hallmark of the developing cerebral cortex in vitro and in vivo. They have been observed in various neocortical areas of numerous species, including newborn rodents and preterm human infants. Spindle bursts are generated in complex neocortical-subcortical circuits involving in many cases the participation of motor brain regions. Together with early gamma oscillations, spindle bursts synchronize the activity of a local neuronal network organized in a cortical column. Disturbances in spindle burst activity during corticogenesis may contribute to disorders in cortical architecture and in the activity-dependent control of programmed cell death. In this review we discuss (i) the functional properties of spindle bursts, (ii) the mechanisms underlying their generation, (iii) the synchronous patterns and cortical networks associated with spindle bursts, and (iv) the physiological and pathophysiological role of spindle bursts during early cortical development. It has been suggested that delta brushes in human preterm infants correlate with so-called spindle bursts recorded in rodents during the early postnatal period . At. At18]. Simultaneous multielectrode recordings in the barrel cortex and in the ventral posteromedial nucleus (VPM) of the somatosensory thalamus of P0-P1 rats in vivo have demonstrated that the majority of spontaneous cortical spindle bursts and also gamma oscillations are not generated within S1, but rather in subcortical structures or outside of S1 Figures 18]. At. At18]. Similar to the spindle bursts in S1, spontaneous spindle bursts in V1 are also largely generated in the sensory periphery. Spontaneous retinal activity, so-called \u201cretinal waves\u201d (for review ), providWhereas a large amount of experimental data has shown that retinal waves provide the main trigger for the cortical V1 spindles bursts, it is not completely understood which pacemaker drives the spontaneous activity in S1 and how spontaneous activity is generated in the somatosensory periphery. In P3\u2013P6 rats spontaneous whisker movements occur during active sleep and are correlated with activation of whisker-related cortical columns in the barrel cortex . In newbIn summary, these data indicate that neocortical spindle bursts in newborn rodents (and delta brushes in human fetus during the third trimester or in preterms) are generated by central pattern generator (CPG) circuits in spinal cord, brainstem, and motor cortex (for CPG circuits in mature brain see \u201344).Neuropharmacological studies provided insights into the molecular mechanisms underlying the generation and modulation of neocortical spindle bursts. In vivo and in vSingle-cell recordings revealed additional insights into the mechanisms underlying the generation of spindle bursts. Spindle bursts in V1 and S1 are accoSpindle bursts in the cerebral cortex of newborn rats can be elicited , 35 and As discussed above, spatially confined spindle bursts in newborn rat cortex synchronize a local neuronal network resembling a neocortical (pre-) column . Beside Beside this intrahemispheric synchronization between different cortical regions, spindle bursts also interact between both hemispheres (interhemispheric). In vivo simultaneous recordings of spontaneous activity in homotopic cortical areas in both hemispheres at the same stereotaxic coordinates and depth have demonstrated that the amount of interhemispheric synchronization in newborn rats is initially rather low and increases during the first postnatal week . This inIt is not surprising that intra- and interhemispheric interactions of spontaneous activity in the spindle burst frequency range can be also observed in developing human cerebral cortex at early stages. Using EEG and functional magnetic resonance imaging (fMRI) Omidvarnia et al. could demonstrate in premature and full term human babies the existence of an \u201celectric resting-state network\u201d that shows functional intra- and interhemispheric interactions in the 8\u201315\u2009Hz frequency range .In summary, several in vitro and in vivo studies have demonstrated that spindle bursts represent elementary states of intra- and interhemispheric synchronization in the very immature cerebral cortex.An increasing amount of experimental and clinical data strongly indicate that spindle bursts play an important role in the physiological development of the cerebral cortex. Experimental evidence indicates that spindle bursts may be particularly suited to interfere with early neurodevelopmental processes, and thus disturbances in spindle burst activity may cause long-term structural and functional disorders.At early stages of development spontaneous and sensory-evoked activity patterns influence a variety of developmental processes, such as neurogenesis , apoptosFor this activity-dependent control of neuronal survival the phosphatidylinositol 3-kinase pathway plays an important role, while the MAPK/extracellular signal-regulated kinase or the calcium/calmodulin-dependent protein kinase pathway is not directly involved . Since oUsing in vitro and in vivo models it has been recently shown that an experimentally induced inflammation by application of the endotoxin lipopolysaccharide induces rapid (<2\u2009h) alterations in the pattern of spontaneous spindle bursts and gamma oscillations in neonatal rodent cerebral cortex, which subsequently leads to increased apoptotic cell death . These iIn summary, these experimental data suggest that any disturbances in the spontaneous activity of the developing cerebral cortex (including spontaneous spindle bursts) induce acute dysfunctions, which may cause long-term disorders. However, it remains to be elucidated whether spindle burst in particular can be causally related to neurodevelopmental disturbances. It has been recently shown in extremely preterm infants that the properties of neocortical bursts recorded with EEG and their scaling relationships correlate significantly with later cognitive development . These cWhile it is generally accepted that early electrical activity shapes the maturation of neocortical circuits , it remaAnother unresolved issue is that both spindle bursts and gamma oscillations can be observed during the same period of early development. Intriguingly, both activity patterns share many features. They can be observed in early postnatal rodent brain from the day of birth . FuFinally, it would be most interesting and important to correlate specific patterns of spontaneous activity recorded by means of full-band direct-current EEG in preterm und full-term human neonates with the acute functional state and with the further development of the child, as impressively done by Vanhatalo and colleagues , 67.Spatially confined spindle bursts and delta brushes represent the most prominent physiological activity patterns in the developing cerebral cortex of newborn rodents and preterm human infants, respectively. Spontaneous and stimulus-evoked spindle bursts can be observed in various neocortical areas of different mammalian species and play important roles in the early development of cortical networks. However, it remains to be studied in more detail how exactly spindle bursts influence the maturation of the cortex and how a potential long-term dysfunction due to disturbances in spindle burst activity can be prevented by early intervention. Since this important type of brain activity is already present in the human fetus in utero (either spontaneously occurring or related to sensory inputs from the uterine environment), a better understanding of the physiological relevance of spindle burst oscillations is of major clinical relevance."}
+{"text": "Non-viral gene delivery vectors are widely used for the delivery of genetic materials into mammalian cells. Currently, there is a need to develop cheap and efficient transfection agents for use in production of recombinant proteins via transient gene expression. There are several barriers that non-viral vectors must overcome for successful transfection, these include cellular internalisation, endosome escape, protection of DNA and delivery of DNA into the nucleus. The ability to escape the endosome and gain entry to the nucleus are of the two primary barriers to successful transfection. The processes involved in the pathways for cellular uptake, intracellular trafficking, and nuclear entry are still not fully understood. More detailed understanding of the pathways involved in transfection is needed in order to develop highly efficient transfection agents.This work investigates the use of three series of cationic diblock copolymers as transfection agents for the production of recombinant proteins, as well as examining the pathways the polymers used for delivery of DNA into the nucleus. The diblock copolymers were synthesised using 'living' radical polymerization techniques, with each series using the same first block poly(2-dimethylaminoethyl acrylate) (PDMAEA). This polymer can self-degrade through a self-catalysed hydrolysis mechanism to a negatively charge and nontoxic poly(acrylic acid) in a time-dependent manner. The second block consists of N-(3-(1H-imidazol-1-yl)propyl) acrylamide (ImPAA) or butylacrylate (BA) or a combination of both. The three series of polymers were first tested for their ability to bind/release and protect pDNA before transfection studies occurred. Transfection studies were performed in Human Embryonic Kidney (HEK293) cells where internalisation pathways into the cell, endosomal escape and nuclear entry were investigated before recombinant protein yields determined. Several chemicals were used to investigate the internalisation pathways and endosomal escape , which is known to block the nuclear pores, was added before transfection. Our results show that 48 h post-transfection, transfection efficiency is significantly reduced to less than 5%. We confirmed that reduced transfection efficiency is not due to any toxic effects caused by the WGA. Our results demonstrate that entry occurs primarily though the nuclear pores, and not during mitosis when the nuclear membrane is temporarily disintegrated as the cells would have undergone at least one cell division during the 48 h period.The results presented here attempts to improve our understanding of the pathways involved in the successful delivery of pDNA. The three series of cationic diblock copolymers investigated are highly effective at escaping the endosome with polymer A-C3 achieving the highest level of transfection efficiency. The A-C3 polymer/pDNA complexes showed a preference to the clathrin-mediated endocytosis (CME) cellular entry pathway. Through the addition of WGA it can be suggested that pDNA either complexed with the A-C3 polymer or alone, enters the nucleus via the nuclear pores and not during mitosis. The ability to rationally design cationic polymers to overcome the barriers to successful transfection could result in the next generation of highly efficient transfection agents used in transient gene expression systems."}
+{"text": "Anaplastic transformation of well-differentiated papillary thyroid carcinoma at distant metastasis sites is rare. To the best of our knowledge, this is the first report of an autopsy case of anaplastic transformation of papillary thyroid carcinoma in multiple lung metastases presenting with a malignant pleural effusion.We report an autopsy case of a 61-year-old Japanese man with anaplastic transformation of papillary thyroid carcinoma with multiple lung metastases presenting with a malignant pleural effusion, which was difficult to diagnose by cytological examination before the autopsy. He presented with a 1-month history of progressive dyspnea, and examination of the left pleural effusion revealed a bloody exudate with an increase in thyroglobulin; however, malignant cells in the pleural fluid were negative for thyroglobulin.It is important to be aware that anaplastic transformation of differentiated thyroid carcinoma could develop in lung metastases and could be a cause of a malignant pleural effusion. Papillary thyroid carcinoma is the most common malignant tumor of the thyroid and has a relatively favorable prognosis. However, anaplastic transformation of well-differentiated papillary thyroid carcinoma is considered rare and is associated with a very poor prognosis . Anaplas131I) until 2003 for multiple lung nodules that were diagnosed as metastases of thyroid carcinoma. A chest X-ray obtained upon his admission to our hospital revealed a massive left-sided pleural effusion , TP53 and PIK3CA, has reportedly been associated with anaplastic carcinoma, and chromosomal abnormalities are also common [131I therapy has been considered to be associated with an increase in the probability of anaplastic transformation [131I in the metastatic sites was associated with development of anaplastic changes [131I therapy was performed in five of seven cases of anaplastic transformation of papillary thyroid carcinoma in distant metastatic sites, including our patient [131I therapy is definitely associated with the pathogenesis of anaplastic transformation, so further clinical cases need to be examined.The presence of transitional zones between the differentiated and undifferentiated components suggests the anaplastic transformation of pre-existing papillary thyroid carcinoma. Although the molecular pathogenesis of anaplastic transformation is not completely understood, some gene mutations, including the o common . In addiormation , 12, 13. changes . Post-op patient , 8. HoweTo the best of our knowledge, we report the first case of anaplastic transformation of papillary thyroid carcinoma in multiple lung metastases presenting with a malignant pleural effusion. It should be kept in mind that anaplastic transformation of differentiated thyroid carcinoma could develop in lung metastases and could also be a cause of malignant pleural effusion.Written informed consent was obtained from the patient\u2019s next of kin for publication of this case report and any accompanying images. A copy of the written consent is available for review by the Editor-in-Chief of this journal."}
+{"text": "Fundus albipunctatus is a recessive auto somal disease. It is a rare form of apparently stationary night blindness characterized by the presence of myriad symmetrical round white dots in the fundus with a greater concentration in the midperiphery. The fundus shows a multitude of subtle, tiny yellow-white spots at the posterior pole, sparing the fovea and extending to the periphery (A et B). The retinal blood vessels, optic disc, peripheral fields and visuel acuity remain normal. Fluoresce in angiography shows mottled hyperfluorescence exceptat the fovea (C et D). Differential diagnosis are the retinitis punctat a albescens and the Oguchi disease. No effective treatment is available to restore full receptor cell function however, high oral doses of beta-carotenemay lead to an improvement in night blindness."}
+{"text": "Chromosomal aberrations such as deletions, duplications and translocations of DNA segments can lead to highly significant positive correlations of gene expression levels of neighboring genes. This should be utilized to improve the analysis of tumor expression profiles. Here, we develop a novel model class of autoregressive higher-order Hidden Markov Models (HMMs) that carefully exploit local data-dependent chromosomal dependencies to improve the identification of differentially expressed genes in tumor. Autoregressive higher-order HMMs overcome generally existing limitations of standard first-order HMMs in the modeling of dependencies between genes in close chromosomal proximity by the simultaneous usage of higher-order state-transitions and autoregressive emissions as novel model features. We apply autoregressive higher-order HMMs to the analysis of breast cancer and glioma gene expression data and perform in-depth model evaluation studies. We find that autoregressive higher-order HMMs clearly improve the identification of overexpressed genes with underlying gene copy number duplications in breast cancer in comparison to mixture models, standard first- and higher-order HMMs, and other related methods. The performance benefit is attributed to the simultaneous usage of higher-order state-transitions in combination with autoregressive emissions. This benefit could not be reached by using each of these two features independently. We also find that autoregressive higher-order HMMs are better able to identify differentially expressed genes in tumors independent of the underlying gene copy number status in comparison to the majority of related methods. This is further supported by the identification of well-known and of previously unreported hotspots of differential expression in glioblastomas demonstrating the efficacy of autoregressive higher-order HMMs for the analysis of individual tumor expression profiles. Moreover, we reveal interesting novel details of systematic alterations of gene expression levels in known cancer signaling pathways distinguishing oligodendrogliomas, astrocytomas and glioblastomas. An implementation is available under Copy number changes of genes are frequently found in different types of cancer Over the last years, several approaches have been developed for the analysis of tumor expression profiles in the context of chromosomal locations of genes. Methods like CGMA Generally, HMMs provide a sound mathematical grounding for the analysis of biological sequences However, this only addresses the first limitation by overcoming the restrictive first-order state-transition process. Independent from that, extensions of the standard emission process have been initially realized in speech recognition by the integration of autoregressive emission distributions enabling the modeling of state-specific direct local dependencies within a range of successive measurements To overcome this, we develop a novel model class of autoregressive higher-order HMMs enabling an improved modeling of local dependencies between successive measurements. Autoregressive higher-order HMMs simultaneously utilize higher-order state-transitions in combination with autoregressive emissions as novel model features. Globally, this model class has very general modeling capabilities including mixture models, standard first-order HMMs and higher-order HMMs as special cases. We motivate the development of autoregressive higher-order HMMs by considering the analysis of individual tumor expression profiles in which local dependencies of gene expression levels are frequently caused by deletions and duplications of underlying chromosomal regions. The existence of such local chromosomal dependencies between expression levels of genes in close chromosomal proximity is clearly shown for three different types of cancer in We apply our autoregressive higher-order HMMs to the analysis of publicly available breast cancer and glioma gene expression data. We first systematically evaluate the performance of autoregressive HMMs to predict overexpressed genes in breast cancer with known underlying increased gene copy numbers. Then, we analyze to which extent these results are transferable to other similar breast cancer expression profiles. We further complement this by a sensitivity analysis evaluating the robustness of autoregressive HMM predictions. Next, we perform an in-depth comparison study to related existing methods on breast cancer gene expression profiles, where we first investigate general characteristics of predicted differentially expressed genes followed by the identification of overexpressed genes with known increased copy numbers. Finally, we consider different types of gliomas and demonstrate that autoregressive HMMs are useful tools to reveal systematic differences in expression levels of genes in known cancer signaling pathways.The materials part provides a brief overview of the considered data sets. The methods part gives a detailed description of the model class of autoregressive higher-order HMMs.This section shortly introduces the considered breast cancer and glioma data sets.Pollack et al. A breast cancer data set by We created a glioma gene expression data set based on data from the Repository for Molecular Brain Neoplasia Data This section develops the basics of the model class of autoregressive higher-order HMMs in the context of the analysis of tumor expression profiles. This includes a detailed model description, a general characterization of the model class, the integration of prior knowledge into the training of the model, basics of the model training and the model initialization.S : \u200a=\u200a{\u2018\u200a=\u200a\u2019,\u2018\u2212\u2019,\u2018+\u2019}. Considering the usually observed distribution of log-ratios algorithms Since we propose autoregressive Gaussian emissions as a novel model feature, we briefly summarize important steps of the estimation of the corresponding autoregressive means. The maximization step of the emission parameter estimation part of the log-posterior leads to a state-specific system of linear equations that enables to update the basic mean and the corresponding coefficients for each autoregressive mean. Standard solvers for systems of linear equations can be used to compute the solution of the given system. We utilize the publicly available Jama package Specific details of the estimation of initial state, transition and emission parameters of the autoregressive higher-order HMM and a computational scheme of the training algorithm are given in Appendix B in For the identification of differentially expressed genes in tumors, an initial autoregressive HMM must be specified to enable a good adaptation of the model to the data during the training. We transfer initial model and prior settings described in This basic initialization strategy has led to robust results in With the goal of performing exhaustive comparisons of different autoregressive HMMs, we trained each HMM with an autoregressive emission process of order In this section, we first systematically compare different autoregressive HMMs for their performance to identify overexpressed genes with underlying increased copy numbers in breast cancer. Next, we analyze to which extent the obtained results can be transferred to other similar breast cancer gene expression profiles. This is complemented by performing a sensitivity analysis to study the robustness of predictions obtained by autoregressive HMMs. After that, we compare the performance of autoregressive HMMs to related existing methods. Here, we first investigate the different methods for general characteristics of their predictions of differentially expressed genes. We further compare the different methods based on their identification of overexpressed genes with underlying increased copy numbers in breast cancer. Finally, we transfer autoregressive higher-order HMMs to different types of gliomas and perform an in-depth systematic analysis of differentially expressed genes with respect to known cancer signaling pathways.Pollack et al. We utilize breast cancer gene expression and corresponding gene copy number data by Seifert et al. Here, we do this in analogy to To analyze the performance of the identification of overexpressed genes with underlying increased copy numbers by different autoregressive HMMs, we used fifty percent of the breast cancer gene expression data set. We trained each initial AR. This is also reflected in closely related array comparative genomic hybridization (aCGH) data analysis pipelines, where models are initially adapted and later used for the analysis of a single individual data set, but where transfers of trained models to other data sets are typically not done. However, a successful transfer of trained HMMs from one data set to a new data set can especially save time for the analysis of large data sets by avoiding time-consuming training steps. Thus, we transferred all previously trained autoregressive HMMs to other similar breast cancer gene expression profiles to evaluate the reached model performances after this transfer in analogy to our previous study.The results are summarized in Thus, this study indicates that a careful transfer of previously trained autoregressive HMMs to other similar tumor expression profiles can be realized, but one should keep in mind that a faster analysis of large data sets may result in reduced accuracy of predictions.We additionally performed a sensitivity analysis by systematically varying initial model parameters and prior parameter settings to analyze the robustness of the predictions made by autoregressive HMMs. Since this is generally very time-consuming, we focused on those parameters that are expected to have the greatest influence on the prediction of differentially expressed genes. We first tested twelve different model initializations and trained corresponding autoregressive HMMs on fifty percent of the breast cancer gene expression data set using identical prior hyperparameter settings. Specific details are given in Table S1 in y stable and widey stable . Similary stable .We next tested twelve different prior parameter settings and trained the corresponding autoregressive HMMs utilizing our generally considered fixed initial model parameterization described in the methods section. Details of the tested prior parameter settings are provided in Table S1 in In summary, this study indicates that changes of the initial model parameter settings and of the prior parameter settings do not substantially affect the predictions of autoregressive HMMs. Thus, the predictions of autoregressive HMMs are robust with respect to reasonable changes of initial parameter settings.To compare the identification of differentially expressed genes by autoregressive HMMs to related methods, we analyzed the breast cancer gene expression data set We applied all methods with their proposed initial standard settings to all breast cancer gene expression profiles. We note that experts of specific methods might be able to further improve the predictions by fine-tuning of specific model parameters. The different methods implement specific algorithms to adapt their initial parameters or test statistics to the data followed by the prediction step. All methods except ChARM, DSHMM, AR. The classification of gliomas according to these subtypes has important implications for the prognosis and the treatment of glioma patients A representative global overview of how strongly oligodendrogliomas, astrocytomas and glioblastomas are affected by under- and overexpression in specific cancer signaling pathways with respect to random expectations is shown for the top 300 genes in Figure S8 in In more detail, considering underexpressed genes, we observe that the same cancer signaling pathways are always affected by nearly the same number of genes independent of the type of glioma only higher-order state-transitions or (ii) only autoregressive emissions did not lead to performances reached by the best-performing autoregressive HMMs that combine these two features simultaneously. The best-performing models had state-transitions of order two to three in combination with autoregressive emissions of order two to four. For the analysis of other data sets, we suggest to consider the most parsimonious model of the best-performing models. That is, one may use the HMM with second-order state-transitions and second-order autoregressive emissions. Since this only involves second-order state-transitions, such a model can also be trained within reasonable time on large data sets. Altogether, our results clearly indicate that autoregressive higher-order HMMs are valuable tools for the analysis of individual tumor expression profiles.Currently, autoregressive higher-order HMMs enable to analyze expression levels of genes in tumor with respect to their linear chromosomal order. This linear processing of gene expression levels allows to improve the predictions via the modeling of existing local chromosomal dependencies. This provides a solid basis that could be further extended by taking prior knowledge about underlying transcriptional networks e.g. or spatiText S1Mathematical basics of the prior distributions for initial state, state-transition and emission parameters and details of the chosen prior hyperparameters are given in the section 'Appendix A: Prior distributions\u2019. A detailed derivation of the Bayesian Baum-Welch algorithm for autoregressive higher-order HMMs is given in the section \u2018Appendix B: Bayesian Baum-Welch algorithm\u2019. An in-depth analysis of identified hotspots of differential expression in gliomas is given in the section \u2018Appendix C: Application of Autoregressive Higher-Order Hidden Markov Models to glioma data\u2019. The supporting Figures S1\u2013S8 are provided in the section \u2018Supporting Figures\u2019. The supporting Tables S1\u2013S4 are given in the section \u2018Supporting Tables\u2019.(PDF)Click here for additional data file."}
+{"text": "The visual pigment in rod photoreceptors, the G protein-coupled receptor rhodopsin is organized in tracks of dimers thereby providing a signaling platform for the dynamic scaffolding of the G protein transducin. Illuminated rhodopsin is turned off by phosphorylation catalyzed by rhodopsin kinase (GRK1) under control of Ca2+-recoverin. The GRK1 protein complex partly assembles in lipid raft structures, where shutting off rhodopsin seems to be more effective. Re-synthesis of cGMP is another crucial step in the recovery of the photoresponse after illumination. It is catalyzed by membrane bound sensory guanylate cyclases (GCs) and is regulated by specific neuronal Ca2+-sensor proteins called guanylate cyclase-activating proteins (GCAPs). At least one GC (ROS-GC1) was shown to be part of a multiprotein complex having strong interactions with the cytoskeleton and being controlled in a multimodal Ca2+-dependent fashion. The final target of the cGMP signaling cascade is a cyclic nucleotide-gated (CNG) channel that is a hetero-oligomeric protein located in the plasma membrane and interacting with accessory proteins in highly organized microdomains. We summarize results and interpretations of findings related to the inhomogeneous organization of signaling units in photoreceptor outer segments.Vertebrate photoreceptor cells are exquisite light detectors operating under very dim and bright illumination. The photoexcitation and adaptation machinery in photoreceptor cells consists of protein complexes that can form highly ordered supramolecular structures and control the homeostasis and mutual dependence of the secondary messengers cyclic guanosine monophosphate (cGMP) and Ca The present article, however will address issues, which had been investigated in more recent years showing that the photoreceptor outer segment is not a well-stirred compartment, but appears rather inhomogeneous. Publications indicating different aspects of heterogeneity date back several decades, but have been mainly interpreted as signs of the natural ageing and renewal process in outer segments. For example, gradients along the longitudinal axis of outer segments have been described for second messenger molecules of rhodopsin block its dimerization both The supramolecular organization of nearly immobile rhodopsin imposes a conceptual problem on the mechanistic understanding of the phototransduction cascade, which operates on a millisecond time base with high sensitivity. Intuitively one might predict that arrays of paracrystalline rhodopsin would slow down the activation kinetics. The investigation of how the diffusion properties of rhodopsin and transducin are affected by specific supramolecular assemblies is not trivial, and has so far been investigated only by computational analyses that incorporate available experimental data. Results were not always intuitive, because rhodopsin supramolecular assemblies and molecular crowding in discs imply anomalous and anisotropic diffusion paths for peripheral membrane proteins such as transducin, which significantly differ from the classical free diffusion case. In a first approach to the problem, Monte Carlo simulations of rhodopsin-transducin encounters in both the classical free diffusion and emerging paracrystalline rafts scenarios suggested that an unexpected favorable effect on the temporal response of early phototransduction reactions may occur, if rhodopsin molecules were packed in highly ordered assemblies would not allow a significant competition with the binding of transducin form of the receptor and does not act upon the unbleached receptor showed shortened light responses indicating a reduced lifetime of light-activated rhodopsin were interpreted as lipid raft structures and biochemical fractionation studies pointed to the existence of lipid rafts in rod outer segments. Detergent resistant membranes or lipid rafts can be isolated from sucrose step gradients of cell suspensions that are solubilized with a low concentration of the nonionic detergent Triton X-100. Main features of lipid rafts are high cholesterol content, saturated fatty acids, glycolipids and the marker protein caveolin it was suggested that ROS-GC1 is crucial for the intracellular trafficking of peripheral membrane proteins correlate with type 12 of Leber congenital amaurosis causing a severe form of blindness at early age part (Sugimoto et al., +/Ca2+, K+-exchanger (Schwarzer et al., CNG channels are heterotetrameric proteins consisting, in rod and cone cells, of three \u03b1\u2013subunits and one \u03b2\u2013subunit (Weitz et al., Signaling proteins in photoreceptor cells form building blocks and signaling modules involving the disc membranes as platforms. These units might preferably exist of transitory protein complexes that are determined by the affinities of their binding partners and their lateral and longitudinal diffusion. This flexible regulatory network of proteins therefore creates the heterogeneous distribution of signaling units in the outer segment under conditions of a crowded intracellular environment. It will be a future challenge to investigate how the exchange, flow and mutual interaction of key factors in signaling units determines the preciseness of visual phototransduction and adaptation.KWK developed the concept of the manuscript, wrote the first draft and approved the final version. DDO added to all parts of the manuscript and approved the final version.The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "We describe a case of pneumococcal round pneumonia in an elderly smoker and it demonstrates the role of inflammatory biomarkers and follow-up imaging in ruling out more ominous diagnoses. Plain chest radiograph revealed right base infiltrate. A computed tomography (CT) scan of the chest is shown by the age of eight . It is an adults . Differen adults ."}
+{"text": "The main objective of this paper is to investigate how archaeological fish remains and written historical records can contribute to the reconstruction of long-term developments of fish communities along the Austrian and Hungarian Danube. Although such approaches are sensitive to various factors, the chronological subdivision and relative quantification of proxy data demonstrate environmental and faunal changes from Prehistory onwards. Intensification of fisheries, decline of large specimens and massive exploitation of small and young fish point to increasing pressure along the chronological sequence towards Early Modern times. One result of this impact was the establishment of regulations and laws to protect such fish. At the same time, the rise of aquaculture and common carp cultivation can be viewed as another upshot of human impact on the Danube\u2019s environment. Finally, the massive import of salted marine fish reflects a compensation for the undersupply caused by overexploitation of the Danube fish fauna and points to the growing demand for fish as food in late medieval and Early Modern times. The Danube comprises a multitude of aquatic environments along its course from the German Schwarzwald to Austria, Hungary and further south into the Carpathian Basin. Although the river endangered riparian communities by recurring flooding, humans also exploited the natural habitats along the Danube as documented by numerous archaeological sites along the Austrian and the Hungarian part (river km 2135\u20131886 and 1796\u20131581). Excavations here uncovered refuse deposits containing fish remains and prove that fishing has substantially contributed to human nutrition since the Neolithic B\u00f6k\u00f6nyi .The successful identification of many fish bones to species level is certainly based on the availability of reference collections. The investigations of such archaeological remains as proxy data address many societal and ecological questions. Cultural preferences influence various social levels as comparing monastic and aristocratic households or civil sites including latrines and waste disposal places Galik . Many faEcological approaches usually relate to manmade faunal changes or impacts on ecosystems analysing the influence of recovery methods on the resulting species list, (2) investigating whether the relative abundance of fish species differs on large spatial and temporal scales, (3) identifying size distributions and (4) comparing the fish remains from the early modern period with written documents to reveal differences between two distinct types of proxy information.The archaeoichthyological material comes from sites along the Danube in Austria and Hungary. The Austrian river section is characterized by alpine influences in terms of velocity and temperature. Downstream of Bratislava and Gy\u00f6r the character shifts towards a lowland river, also reflected by a change from a dominance of rheophilic and eurytopic to more limnophilic cyprinids was overwhelmingly represented in the prehistoric contexts at both sections of the Hungarian Danube but it remained absent in Austria\u2019s prehistoric site at the Danube tributaries. The Roman-, medieval- and late/post-medieval contexts revealed similar patterns at least for the Vienna Basin and the upstream section of the Hungarian Danube. Although common carp appears quite opposite in the Roman contexts, the decline in abundance from medieval- to late/post-medieval contexts reveal similar pattern at the Hungarian and Austrian sites. The frequencies of pike are similar in Roman contexts as well as the decrease in abundance towards late/post-medieval sites in the Austrian sites and sites at the upstream section of the Hungarian Danube . The late medieval latrine in the Vienna Basin contained schraetzer and ruffe . Pikeperch (Sander lucioperca) was particularly well represented in the Roman contexts at the Austrian and Hungarian Danube but appeared in smaller proportions in later periods and at the Austrian tributaries was clearly a regular catch around the Danube, but it remains rare at the Austrian tributaries. Its highest frequency in Austria occurred in the Roman period occurred in high proportions in all chronological periods at the Danube tributaries in Austria, along with rare evidence of Danube salmon (Hucho hucho) and grayling imply occasional catches at Austrian sites. Salmonids as well as burbot did not occur in any Hungarian site.Brown trout were present in the Austrian late medieval- as well as in the Roman latrine. Bullhead (Cottus gobio) was documented in the sites related to the Danube and along the tributaries, for example at the medieval castle. Although small fish were present in Roman and medieval times, masses accumulated in the late medieval context only.Loaches (Anguilla anguilla) occurred in the late medieval latrines in the Vienna Basin and in St. P\u00f6lten. Other remains demonstrated the import of marine fish back as far as the reign of the Imperium Romanum. The most abundant species was Atlantic chubb mackerel (Scomber scolias). While the medieval castle yielded only a single specimen, the latrines produced large numbers of herring vertebrae. Other imported species included cod as stock fish (Gadus morhua) and flatfish, mainly plaice (Pleuronectes platessa) but also sole (Solea solea) and turbot in monastic contexts and in the cesspit filling of the tavern in Salzburg (Fig.\u00a0Besides above-described species native in the Danube, catadromous eel (urg Fig.\u00a0; Table\u00a01Most of the material indicated cyprinids in the size range of 30\u201340\u00a0cm and sometimes even larger Fig.\u00a0. The RomThe written sources confirm the fish species detected in the archaeological records but also complement and complete the ichthyo-faunal evidence. Besides sterlet and beluga sturgeon, Schmelzl additionArchaeological fish remains produce distorted pictures that are biased by taphonomic history, beginning with fishing, trade and consumption and ending with preservation. Beyond methodological factors such as the expertise or the method of recovery, which massively influence the richness of species by \u201csampling\u201d efforts, the state of preservation and inconsistent quantities of identifiable bones impedes chronological and contextual comparisons. The proxies provide a reliable signal at least for the regularly hand-collected large fish species, bearing in mind that limited material may reflect regional\u2014rather than diachronic variations.However, as a recurring nutritive resource, large migratory sturgeons were targeted from prehistoric times on at the Hungarian part of the Danube. The first Austrian sturgeon remains date to the Roman period, while the prehistoric site Ansfelden is located outside their natural migration routes and no evidence of prehistoric sturgeon exploitation has been proven to date along Austria\u2019s Danube. Besides the archaeologically evidenced sterlet and beluga sturgeon, a higher variety of sturgeon species is expectable Schmelzl . The AusThe remains from the Roman latrine in the Vienna Basin indicate another pattern as the late/post-medieval latrine fillings. The Roman site reveals the use of only a few small sized fishes although the sediment was carefully sieved. Even smaller sizes and intensified exploitation of juvenile cyprinids and other small species indicate changes in fisheries in the late/post-medieval times in Austria. Historical records refer to these environmental impacts, in particular fishing laws such as introduced by Albrecht V in 1412 for the Austrian part of the Danube Uhlirz . They prKarpfen, Seekarpfen\u201d and \u201cThei\u00dfkarpfen\u201d most probably from the Tisza River. Besides these forms, Bohemian reared common carp was transported to the Viennese fish market as well (Wacha Common carp and other cyprinids and pike are abundant and important fish in Austria and Hungary and probably mirror an increase of fishing intensity towards the medieval- but a decrease of specimens towards the late/post-medieval periods. The Austrian common carp remains reflect human impact at the ecosystem, too. Comparable to Hungarian Neolithic exploitation (Bartosiewicz ll Wacha .The documentation of assumed ecological differences and changing fish communities between the Austrian and the Hungarian part of the Danube is hampered by the aforementioned methodological insufficiencies and is restricted to mainly larger eurytopic species. Even such hand-collected and large fish remains indicate that species such as sturgeon, common carp or pike had been transported to remote sites at Austria\u2019s Danube tributaries, outside their natural habitat. At a finer level, the sieved samples reveal a correspondence of species composition and Danube habitats in the Vienna Basin and the tributary sites. The conspicuous absence of trout in early medieval Ansfelden might be explained as a pattern of Slavic people\u2019s preference for cyprinids, whereby potential taphonomic conditions or environmental changes may also have played a role. Typical species in the samples such as schraetzer and ruffe indicate exploitation of local Danube fish in the Vienna Basin Zauner . A good Freyung\u201d yielded, beyond few Atlantic chub mackerel remains, vertebrae resembling small-sized herring and strongly indicating the import of Atlantic fishes. The late medieval eel remains may represent preserved and transported fish as well, but historical records show that eel migrated towards two Austrian regions. The first was the Lainsitz in Lower Austria, where eel entered from the Elbe-system. The second was Lake Constance via the Rhine River (Spindler Imported and preserved marine fish certainly reflect a demand for Mediterranean cuisine and life style in land-locked Central Europe in Roman times (H\u00fcster-Plogmann Spindler . NonetheSpindler \u2014even to Spindler associatSpindler . AlthougSpindler .Concluding, our investigations demonstrated the potential of using fish remains and written historical records for reconstructing long-term changes of the Danube\u00b4s fish communities but also certain limitations as well as the dependence from the methodological approaches e.g. of sampling. Although only proxy data are involved, the species found and the frequency of bones clearly indicate the relation between the fish community and human interaction and impact on the Danube\u2019s environment. Our results strongly encourage improvement and standardization of archaeological recovery methods and routine screening for fish remains. Such data can provide historical investigations at finer chronological and geographical resolutions along the various riverine habitats of the Danube. They have the potential to enlighten even local changes in ecology and fish population. The incorporation of new and well established bio-molecular methods with still rising potential and reliability such as analyses of stable isotopes (Barrett et al."}
+{"text": "HTLV-1 gene expression is controlled by the key regulatory proteins Tax and Rex. The concerted action of these proteins results in a two-phase kinetics of viral expression that depends on a time delay between their action. However, it is difficult to explain this delay, as Tax and Rex are produced from the same mRNA. In the present study we investigated whether HTLV-1 may produce novel mRNA species capable of expressing Rex and Tax independently.Results revealed the expression of 3 alternatively spliced transcripts coding for novel Rex isoforms in infected cell lines and in primary samples from infected patients. One mRNA coded for a Tax isoform and a Rex isoform, and 2 mRNAs coded for Rex isoforms but not Tax. Functional assays showed that these Rex isoforms exhibit activity comparable to canonic Rex. An analysis of the temporal expression of these transcripts upon ex vivo culture of cells from infected patients and cell lines transfected with a molecular clone of HTLV-1 revealed early expression of the dicistronic Tax/Rex mRNAs followed by the monocistronic mRNAs coding for Rex isoforms.The production of monocistronic HTLV-1 mRNAs encoding Rex isoforms with comparable activity to canonical Rex, but with distinct timing, would support a prolonged duration of Rex function with gradual loss of Tax, and would be consistent with the two-phase expression kinetics. A thorough understanding of these regulatory circuits will shed light on the basis of viral latency and provide groundwork to develop strategies for eradicating persistent infections."}
+{"text": "The launch of seed development in flowering plants (angiosperms) is initiated by the process of double fertilization: two male gametes (sperm cells) fuse with two female gametes to form the precursor cells of the two major seed components, the embryo and endosperm, respectively. The immobile sperm cells are delivered by the pollen tube toward the ovule harboring the female gametophyte by species-specific pollen tube guidance and attraction mechanisms. After pollen tube burst inside the female gametophyte, the two sperm cells fuse with the egg and central cell initiating seed development. The fertilized central cell forms the endosperm while the fertilized egg cell, the zygote, will form the actual embryo and suspensor. The latter structure connects the embryo with the sporophytic maternal tissues of the developing seed. The underlying mechanisms of double fertilization are tightly regulated to ensure delivery of functional sperm cells and the formation of both, a functional zygote and endosperm. In this review we will discuss the current state of knowledge about the processes of directed pollen tube growth and its communication with the synergid cells resulting in pollen tube burst, the interaction of the four gametes leading to cell fusion and finally discuss mechanisms how flowering plants prevent multiple sperm cell entry (polyspermy) to maximize their reproductive success. Arabidopsis and maize the embryo sac develops according to the Polygonum type is formed during the processes of microsporogenesis and microgametogenesis from the microspore mother cell by meiosis and two successive mitotic divisions resulting in the formation of a tricellulate pollen grain. The vegetative cell encases the two sperm cells, which are connected with the vegetative cell nucleus by the generative cell plasma membrane, forming the male germ unit (MGU). MGU formation ensures the simultaneous delivery of both gametes to the ovule , which binds to the S-locus pollen tube membrane protein P. r. pollen S (PrpS) and activates a Ca2+-dependent signaling cascade resulting in pollen inhibition and programmed cell death in papilla cells gradient at the pollen grain adhesion site , which can be stimulated by D-serine , calmodulin-like proteins (CMLs), calcium-dependent protein kinases (CDPKs), and calcineurin B-like proteins (CBLs) are expressed in the pollen tube and are thought to control different cell-cell communication events indicated by their localization and overexpression phenotypes. The presence of these different Ca2+cyto receptors around the sperm cells and at the pollen tube tip indicate an essential role of Ca2+ signals both during pollen tube growth and double fertilization mutant or its target HALF FILLED (HAF), pollen tube growth is severely affected and either slowed down or prematurely terminated. NTT encodes a C2H2/C2HC zinc finger transcription factor involved in ECM production and is essential for programmed cell death in the transmitting tract upon pollination forms this gradient through GABA degradation. At moderate concentrations GABA stimulates pollen tube growth and thus likely supports growth toward the ovule was not effected in the double mutants , MPK3 and MPK6, were identified in In summary, our current understanding of ovular pollen tube guidance is very limited, but a whole orchestra of small molecules derived from the ovule seem to be involved in pollen tube growth support and attraction, and multiple signaling networks are required in pollen tubes to respond to the diverse set of signals and to direct their growth behavior.Arabidopsis , including those representing a subgroup of defensin-like (DEFL) polypeptides , a small hydrophobic precursor protein of 94 aa was reported as an egg apparatus-specific protein required for micropylar pollen tube guidance mutants show defects in central cell maturation; both haploid nuclei are smaller and often fail to fuse. Pollen tubes grow in the direction of an unfertilized maa ovule but loose their way just before entering the micropyle. Moreover, mutant female gametophytes attracted two pollen tubes at a high frequency LOST IN POLLEN TUBE GUIDANCE1 (LIP1) and 2 (LIP2) have been identified, which are preferentially expressed in the pollen tube. Both proteins show membrane localization due to a palmitoylation site and are involved in the AtLURE1-dependent guidance mechanism. fer ovules , which leads to the inhibition of a plasma membrane H+-ATPase resulting in the suppression of cell elongation in the primary root -anchored protein LORELEI (LRE) and the Mildew Resistance Locus O (MLO) family protein NORTIA (NTA). Both genes are expressed in synergid cells and show a similar pollen tube overgrowth phenotype in the pollen tube membrane , which generate only one sperm-like germ cell and GENERATIVE CELL SPECIFIC 1 (GCS1), also known as HAPLESS 2 (HAP2) . It was further shown that in the absence of the potential fusogen GCS1/HAP2, attachment of male to the female gamete occurs but no membrane fusion is visible, implying that the protein mediates membrane fusion as a component of signaling events, or more likely that it is directly involved in the fusion event mutant. This mutant produces more than one sperm pair, which is released simultaneously at the gamete fusion site. After fertilization, polyploidy resulting from multiple fertilization events was observed in the developing endosperm, but not in the embryo or a number of highly specialized cell types , both female gametes appear in an arrested state until activated through fertilization. In contrast, parthenogenetic egg cells do not arrest and initiate cell division without fertilization. The central cell, however, requires fertilization in most plant species, even in those containing parthenogenetic egg cells. Its activation is closely related to seed development as both parthenogenetic embryogenesis and seed development arrest at an early stage without central cell fertilization , which was shown to be delivered by sperm cells, becomes translated in the zygote and acts in the YODA (YDA) MAPK pathway during zygote elongation /Pelle-like kinase gene Arabidopsis tremendous progress has been made in the past couple of years to understand the underlying cellular and molecular mechanisms that regulate pollen tube growth and guidance, sperm delivery and gamete interaction resulting in blocks to polytubey and polyspermy. Little is known about the activation of gametes and thus seed development immediately after fertilization. Many of the processes described above involve conserved mechanisms and proteins. Some of these proteins are highly polymorphic and species-specific, allowing female flower organs to discriminate self from alien pollen grains/pollen tubes to avoid reproductive failure after pollination and fertilization with incompatible gametophytes and gametes, respectively. In summary, we have learned that species-specific or even ecotype-specific molecules and plant family-specific mechanisms are required during compatible interactions. These are used by papilla cells to control pollen germination, by transmitting tract cells during pollen tube growth and by the ovule and female gametophyte cells during the last steps of pollen tube journey. Moreover, even sperm cell discharge is regulated in a species-preferential manner. Whether gamete interactions depend on species-specific molecules remains to be shown. Up to now the final processes of fertilization seem to involve partly conserved proteins even from lower to higher eukaryotes. The knowledge generated can now be used to investigate, for example, speciation mechanisms or can be applied to overcome hybridization barriers between species. Initial attempts enabling ovules to attract pollen tubes from unrelated plant families have been successful (M\u00e1rton et al., in vivo still limit its utilization for reproduction biologists. Concerted efforts are now required to understand the molecular mechanisms of double fertilization in crop plants, which significantly differ from Arabidopsis in both reproductive structures and genetic repertoire.Efficient and successful fertilization of all developed ovules is a key to reproductive success and essential for high crop yield. Using the model plant The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Accurate quantification of insulin resistance is important for diagnosing and determining the efficacy of treatment in patients with equine metabolic syndrome (EMS). The euglycemic-hyperinsulinemic clamp (EHC) is a gold-standard method for measuring insulin sensitivity (IS) but the complexity of the technique limits its use in research. The use of proxies based on fasting values offers an attractive alternative.To evaluate the validity of proxies calculated from basal plasma glucose and insulin concentrations that predict insulin sensitivity measured with the EHC in the horse.The EHC was conducted in 29 horses of different breeds with a wide range of IS including 12 patients diagnosed with EMS. Basal plasma and insulin concentrations were determined from blood samples collected prior to the EHC. In addition, the ability of proxies to detect changes in IS during a weight gain study in nine Standardbred horses was also included.Insulin sensitivity indexes calculated from the EHC were correlated (r2 = 0.47 \u2013 0.71) to quantitative insulin sensitivity check index (QUICKI) and to the reciprocal of the square root of insulin (RISQI) as well as to the homeostatic model assessment of insulin resistance (HOMA-IR). The proxies were unable to accurately predict changes in IS during the weight gain study.Proxies for screening of IS in the horse may be useful but their ability to detect diet-induced variations in IS appears to be limited."}
+{"text": "We recovered 35 mutations that form abnormally enlarged cells with multiple, often polyploid nuclei and incomplete cell walls. These mutants represent seven genes, four of which have previously been implicated in phragmoplast or cell plate function. Mutations in two loci show strongly reduced transmission through the haploid gametophytic generation. Molecular cloning of both corresponding genes reveals that one is represented by hypomorphic alleles of the kinesin-5 gene RADIALLY SWOLLEN 7 (homologous to tobacco kinesin-related protein TKRP125), and that the other gene corresponds to the Arabidopsis FUSED ortholog TWO-IN-ONE . No mutations that completely abolish the formation of cross walls in diploid cells were found. Our results support the idea that cytokinesis in the diploid and haploid generations involve similar mechanisms.Cytokinesis in plants involves the formation of unique cellular structures such as the phragmoplast and the cell plate, both of which are required to divide the cell after nuclear division. In order to isolate genes that are involved in Plants have adopted a unique mechanism of separating daughter cells in mitosis. This mode of cytokinesis involves two specialized organelles, the phragmoplast and the cell plate \u20133. The pin vitro ; the relative abundance of individual neutral sugars was measured with respect to all six sugars analyzed [weight%]; all values represent the average of three measurements, with the standard deviation listed in brackets . \u2020: .(PDF)Click here for additional data file."}
+{"text": "Post-mortem computed tomography (PMCT) has been proven for its appropriateness to become an integral part of routine pre-autoptic forensic investigations either in the field of forensic investigation of fatal medical error or in hospital quality management. The autoptic investigation of unexpected and peri-interventional deaths can be usefully guided by post-mortem imaging which offers significant added value in the documentation of misplacement of medical devices before dissection with the risk of artificial relocation and the detection of iatrogenic air embolism. Post-mortem CT angiography (PMCTA) augments PMCT in the search for sources of hemorrhages and for the documentation of vascular patency and unimpaired perfusion after general and cardiovascular surgery or transvascular catheter-assisted interventions. Limitations of PMCT and PMCTA in medical error cases are method-related or time-dependent including artifacts by early post-mortem tissue change. Thromboembolic complications including pulmonary embolism, the differentiation of ante- and post-mortem coagulation and the detection of myocardial infarction remain areas with compromised diagnostic efficiency as compared to autopsy. Furthermore, extended survival periods after a complication in question impedes visualization of contrast agent extravasation at vascular leakage sites. PMCT and PMCTA contribute substantially for proving a correct interventional approach and guide forensic or clinical autopsy in the reconstruction of adverse medical events with fatal outcome. Post-mortem imaging could also assume a new role as an alternative in a clinicopathological setting if autopsy is not achievable when the probability in the individual case is acceptable to answer specific questions. During the last 10\u00a0years, post-mortem computed tomography (PMCT) has developed to become a tool for routine work in more and more institutes of forensic medicine across Europe and worldwide . PMCT coThere is a rising number of reports about the advantages of post-mortem imaging in cases with fatal outcome after medical intervention \u201318. AutoHence, PMCT shows the potential to become a valuable tool that adds further information after unsuspected in-hospital deaths even if an autopsy diagnosis is not achievable due to patient/family consent , 19, inoTaking into account the experiences of forensic radiologists and forensic pathologists with the application of post-mortem imaging in the assessment of suspected medical malpractice, PMCT has established its role for radiologically accessible morphological findings which are indicative for or against an iatrogenic injury caused . The limSince some years, post-mortem CT angiography has expanded the range of options in the reconstruction of potential medical error since it facilitated the search for hemorrhage sources as well In the Hamburg Institute of Legal medicine, over a period of 6\u00a0years about 2000 PMCT investigations have been performed after in-hospital deaths. The responsibility of the Institute of Legal Medicine for the morgue includes fatalities with unknown manner of death from the city of Hamburg but also all in-hospital deaths from the university medical center Hamburg-Eppendorf. This enables the post-mortem CT examination on request by clinical colleagues in cases of naturally certified deaths as well as in cases in which public prosecution decides to stop further investigations in primarily certified unclear manner of death. Until 2012, a 4-slice MDCT (MX 8000) have been used, thereafter a 16-slice MDCT . A whole-body CT from top to thigh is the standard; additionally, dedicated scans of the cranium, the brain and the thorax with higher resolution may complement the exam.200 hospital fatalities have been examined with multiphase post-mortem CT angiography (MPMCTA) after performance of PMCT according to reported standard methods . The intPost-mortem computed tomography contributes greatly to perpetuate evidence of the position of foreign bodies at time of death and before any autopsy procedure could artificially displace it. The unrecognized misplaced intubation includes esophageal positioning, bronchial intubation, esophageal or tracheal perforation but also disconnection or dislodgement of the tracheal tube. Extra-anatomical gas detection such as gas accumulation in the deep cervical and mediastinal tissues points to a complication, occasionally seen after misplaced tracheotomy or coniotomy. It remains challenging in PMCT to detect a source of gas/air escapes, especially in the thoracic and abdominal cavity but following their 3D-path in soft tissues has advantages over the autopsy. PMCT gives evidence of pneumothorax after jugular and subclavicular medical puncture; the mediastinal shift due to tension pneumothorax cannot be depicted at autopsy in a comparable quality. The transvenous placement of central venous lines, gastric tubes and electrodes from cardiac pacemakers or defibrillators with irregular loops and bending or misplaced pleural drainages are quite illustrative on 3D reconstructions. Figure\u00a0In intensive care units, ventricular assist devices, aortic balloon pumps and extracorporal membrane oxygenation (ECMO) systems have become increasingly in use in patients with cardiac and respiratory failure as a bridge for recovery, transplantation or ultima ratio. PMCT easily identifies the position of the incoming and outgoing components as well as the location of pump systems. Depending on the type of system used, conclusions can be drawn on the underlying organ dysfunction in the terminal phase of life of the patient .After percutaneous coronary intervention (PCI), the myocard sometimes shows an enhancement which seems to be due to contrast medium deposits that still have not been washed out completely. If these areas correspond to the drainage of a coronary artery, this may be taken as an indication for sudden interruption of coronary perfusion before death or immediate cardiac arrest after contrast medium application.If a series of gas bubbles is observed in a coronary artery after fatal outcome during a PCI procedure, it should be clarified if a gas embolism could have happened even though safety devices should prevent unobserved gas bubble transport through the angiography catheter. Post-mortem gas formation is a very unlikely explanation when gas detection is restricted to the coronary arteries. Another differential diagnosis is the replacement of blood by gas via unlocked catheters which had not been removed from the body immediately after the procedure.Coronary perforations with cardiac tamponade and dissections are typical fatal complications after transvascular cardiac interventions, sometimes resulting in aortic dissections Fig.\u00a0. PerforaPMCTA may rarely fail to demonstrate the exact source of a bleeding which resulted in a cardiac tamponade. The tamponade is usually firmly clotted in these cases and prevents contrast medium from leaking out of a rupture due to the massive pressure in the pericardial sac and adherence of blood clots to the surface of the traumatized tissue.Transvascular valve placement refers predominantly to the transcatheter aortic valve implantation (TAVI) which utilizes bioprostheses made of bovine pericardium mounted on a balloon-expandable stainless-steel or cobalt-chromium stent. The positioning of the valve, its relation to the coronary ostia with potential constriction effects and the unimpeded perfusion of the aortic outlet as well as signs of incompatibility of the aortic diameter and the expanded frame with the risk of valve insufficiency can be visualized by PMCTA. The expanded wires of the frame may complicate a subsequent coronary stenting procedure. The lower border of the valve graft is at risk to interfere with the anterior sail of the mitral valve and its papillary suspension which is observable via 3D reconstruction and virtual endoscopy .The valve may be implanted via a transfemoral or transapical approach which could result into additional suturing problems at the points of sheath/catheter entry after termination of the intervention. PMCT/PMCTA demonstrates resulting hemorrhages into the soft tissues of thigh and retroperitoneum or into the pleural space and into the mediastinum .\u00ae or to catheter radiofrequency or cryoablations, mostly at the level of the openings of the pulmonary veins into the left atrium for the treatment of cardiac arrhythmias.A catheter-induced trauma may also refer to balloon dilatations of the aortic valve, to transcatheter approaches of the mitral valve such as annuloplasty and mitraclipPerforations from one into another cardiac chamber.Myocardial contrast medium deposits in case of incomplete disruptions.Perforation into the pericardial sac with resulting tamponade.Perforation into the mediastinum and/or the pleural space if the rupture continues above the level of the pericardial reflection lines on the great vessels.These procedures may result intoPMCTA facilitates the diagnosis by following the path of extravasated contrast agent.Endovascular aneurysm repair (EVAR) has been widely adopted for abdominal aneurysms\u2014extendable into the iliac arteries\u2014and thoracic (TEVAR: thoracic EVAR) aortic aneurysms. The blood flows through the endograft which represents an artificial lumen reducing the pressure in the aneurysm. There is a growing application of endovascular graft stenting even in emergencies with ongoing aneurysm ruptures or aortic dissections.A major cause of complications in abdominal EVAR is the failure of the seal between the proximal, infra-renal aneurysm neck and the endovascular graft; unsuitable fit between the aortic wall and the graft with compromised seal and an instable anatomy may elevate the risk , 27. RecThe diagnostic value of PMCT(A) after fatal outcome of open surgical interventions is generally much higher with the detailed knowledge of the preexisting morbidity, the sequence of ante-mortem interventions and preceding complications to the last operation. Full access to the patient history at the time of radiology report would be a given in clinical pathology, but it is not self-evident in the forensic area for the time of post-mortem reporting.A typical scenario of suspected medical error is a challenged decision to wait and see instead of starting surgical exploration in case of abdominal pain. Figure\u00a0The majority of patients following thoracotomy or laparotomy-based adverse events die of protracted multi-organ failure with circulatory shock. PMCT shows laparotomy-related complications of abdominal surgery such as postoperative ischemia of the bowel with indirect radiological signs as in the living, a paralytic ileus with bowel distension and the presence of multiple gas\u2013fluid levels. Peritonitis from suture insufficiency after bowel resection, postoperative respiratory failure with pneumonia, wound infections with abscess formation or pyelonephritis are suspected reasons for a septic multi-organ dysfunction syndrome but mostly PMCT offers indirect signs of these conditions only.General soft tissue edema as well as fluid in the peritoneal and pleural cavities is indicative of failure of kidneys, heart and liver. Maximum pulmonary edema without major post-mortem change and pleural effusions demonstrate respiratory failure and sometimes overhydration. The extracardial distribution of contrast medium deposits in the kidneys or in extra-renal organs indicate ante-mortem contrast enhanced imaging in excretion mode-dependent short-term intervals before death and creates an impression of the extent of renal failure.Hemorrhages from dehiscent vessel anastomoses or ligatures after resections of abdominal organs are visualized; however, a collapse of major vessels as a sign of hemorrhagic shock is usually missing because of massive transfusion or hyperhydration.Liver failure is associated in PMCTA with a general elevated tissue enhancement and simultaneous enhancement of arterial and portal structures on the arterial phase images indicating the presence of open arterioportal venous shunts.Fatal outcome after preceding liver transplantation could be due to hepatic artery/portal vein stenosis or thrombosis which are caused by rejection, clamp injury, intimal injury by perfusion catheters or anastomotic ischemia due to a disrupted vasa vasorum.\u00a0Figure\u00a0Coronary bypass surgery includes aortocoronary venous bypasses, left internal mammary artery (LIMA) and right internal mammary artery (RIMA) bypasses which are identified in PMCT by clips in characteristic formation . PMCTA iThe diagnosis of gastric or duodenal ulcers could involve the forensic question how successful a laceration of a bleeding artery at the ulcer bed has been terminated by gastroduodenoscopy. Even at autopsy given the sutured ulcer bed this question may be difficult to assess if gastric and bowel contents do not allow to differentiate within a short time interval. PMCTA helps to identify the sufficiency of vessel closure if not hindered by unspecific contrast extravasation due to post-mortem gastric mucosal destruction.Endoscopic retrograde cholangiopancreatography (ERCP) may be complicated by a rupture of bile duct or pancreatic duct which causes post-ERCP pancreatitis, often promoted by papillotomy or by sampling of suspicious adjacent tissues by endosonographically guided fine-needle aspiration. The post-mortem PMCT diagnostic criteria are direct and indirect signs of bleeding, edema of pancreas and surrounding tissues and accentuation of the renal fascia; in exceptional cases this is combined with the risk of air embolism if gas insufflation into the duct system has not been stopped in time.Specific complications such as a compromised organ perfusion by relocation of vessel disposals should be proved by means of MPMCTA. This is also true for hemodynamically significant dissection or leakage.PMCT after neurosurgical interventions refers to hemorrhage, stroke and traumatic brain injury, the latter indicated by fracture lines, coup and contrecoup lesions. The early post-mortem change with dedifferentiaton of gray and white matter of the brain in PMCT as well as an impaired rendering in the posterior cranial fossa limits sometimes the diagnostic validity and post-mortem MRI could sometimes be the better option for guidance of neuropathological examinations. The enhancement of the intracranial vessels with the MPMCTA transfemoral approach can be blocked by an increased brain pressure. A pronounced block may serve as an indication for intravital brain death. It is possible in some cases to overcome this effect by direct cannulation of the great cervical vessels for contrast agent application Fig.\u00a0a, b.Fig.Medical malpractice allegations after deaths were between 1990 and 2000 in Germany occasion for approximately 4.4\u00a0% of the judicial autopsies; the trend is likely to be increasing since then . The usuIf the patient dies from the effects of treatment failure, negligent homicide, grievous bodily harm with lethal consequences or even manslaughter come into consideration. Among the typical error categories are found primarily the omission of necessary diagnostic or therapeutic procedures and perioperative complications . The forFrequent underlying causes of medical errors are lack of \u201cerror culture\u201d, possibilities for confusion , communication errors among those administering treatment, workload, lack of clarity about the responsibilities and inadequate patient monitoring. Typical case scenarios of unexpected death in hospital, sometimes in the context of medical malpractice allegations, are sudden and fatal deteriorations after surgical and minimally invasive intervention, delayed or fault diagnosis and treatment, death after failed resuscitation , and generally a mismatch between low estimated and risk fatal outcome. All of these are typical scenarios for a potential added value of a multimodal post-mortem analysis including imaging methods. However, under-/overdosage of medical drugs necessitate toxicological investigations and allergic reactions to medical drugs and contrast agents will be evaluated mainly by medical history and laboratory markers.A decline of clinical autopsies results in an overestimation of the sensitivity of clinical ante-mortem diagnosis . ClinicoMPMCTA turns out to be a new method with a highly standardized and evaluated methodology , 25, 33 discrete bleeding sources in small arterial branchesvenous leakages without recognizable lacerations of small venes/venoles, which is typical for the renal bed, mesenterial veins and venous plexus in the pelvic regionbleedings through miniscule defects caused by perforations with tiny instruments such as catheter tipsmultiple bleeding sources which succeed each other at various time pointsMultiphase post-mortem CT angiography contributes to the detection of hemorrhage sources even in cases in which autopsy fails , 14. BloThe concept of MPMCTA distinguishes arterial and venous sources nevertheless early venous enhancement does occur in the arterial phase, particularly in the portal vein . The intDue to the reluctance of medical doctors concerning informed autopsy consent and inadequate prioritization by the legislature post-morThe evidence for an isolated use of the results of post-mortem imaging in forensic cases is still limited: autopsy remains the gold standard for the morphological diagnosis of thromboembolic complications as post-mortem imaging is restricted to probabilistic approaches concerning the quality of obliterating material in a vessel. Myocardial infarction remains an autopsy- and histology-based diagnosis even if Another obstacle is the early post-mortem change with hypArrhythmogenic cardiac deaths due to coronary heart disease are a further example of the limits of current post-mortem imaging . AutopsyPost-mortem cross-sectional imaging has demonstrated essential benefits as an adjunct to forensic autopsy. Enhanced by angiography methods, it facilitates the reconstruction of anatomical conditions in the region of an adverse event during operation. This refers to the anatomical proximity of unintentionally injured structures, the search for sources of bleeding as well as the question of perfusion delivery after vascular procedures. The availability of these techniques should be considered in appropriate cases.Post-mortem imaging allows comparisons with ante-mortem imaging in individual cases and could help in the expert\u2019s delimitation of ex ante and ex-post judgements by clarification of situational conditions in the very moment of a challenged medical action or decision.Taking into account the still limited availability of expertise in post-mortem radiology, a cooperative assessment via teleradiology expert networks could be a preferable option .The combination of imaging and autopsy, histology and toxicology could enhance the cost efficiency of criminal proceedings by accelerated setting the course and avoidance of costly follow-up assessments . Further"}
+{"text": "We report a case of 64-year-old male with prostate cancer and coagulation disorder presented with abdominal distension. He underwent abdomen and pelvis ultrasound for assessment of ascites, which showed localized fluid collections identified at the left and right iliac fossa. After that, non enhanced abdomen and pelvis CT scan was performed and showed heterogeneous organized collections identified along the psoas muscles bilaterally, causing focal contour bulge representing haematoma. Prostate cancer is the second most common urological malignancy to be associated with paraneoplastic syndromes after renal cell carcinoma and one of these syndromes is a hemorrhagic disorder. We report a case of 64-year-old male with prostate cancer and coagulation disorder in form of bilateral psoas muscles hematoma.A 64-year-old man with prostate cancer, bone metastasis and coagulation disorder presented with abdominal distension. He underwent abdomen and pelvis ultrasound for assessment of ascitis, which showed localized fluid collections identified at the left iliac fossa with volume approximately 74 ml and right iliac fossa with volume approximately 48 ml ,Figure 2Prostate cancer is the second most common urological malignancy to be associated with paraneoplastic syndromes after renal cell carcinoma and one of these syndromes is a hemorrhagic disorder. These syndromes tend to occur in the setting of late stage and aggressive tumors with poor overall outcomes. Paraneoplastic syndromes represent a constellation of conditions that are caused by the presence of malignancy, but not attributable to direct tumor invasion or compression. Up to 8% of patients with cancer are estimated to be affected by paraneoplastic syndromes . RecogniHematoma of the psoas muscle in prostate cancer patient is generally secondary to a coagulation disorder. Treatment is two-fold: management of the underlying prostate cancer and supportive therapy for the coagulation disorder."}
+{"text": "Micrasterias denticulata is an exceptional organism due to its complex star-shaped, highly symmetric morphology and has thus attracted the interest of researchers for many decades. As a member of the Streptophyta, Micrasterias is not only genetically closely related to higher land plants but shares common features with them in many physiological and cell biological aspects. These facts, together with its considerable cell size of about 200 \u03bcm, its modest cultivation conditions and the uncomplicated accessibility particularly to any microscopic techniques, make Micrasterias a very well suited cell biological plant model system. The review focuses particularly on cell wall formation and composition, dictyosomal structure and function, cytoskeleton control of growth and morphogenesis as well as on ionic regulation and signal transduction. It has been also shown in the recent years that Micrasterias is a highly sensitive indicator for environmental stress impact such as heavy metals, high salinity, oxidative stress or starvation. Stress induced organelle degradation, autophagy, adaption and detoxification mechanisms have moved in the center of interest and have been investigated with modern microscopic techniques such as 3-D- and analytical electron microscopy as well as with biochemical, physiological and molecular approaches. This review is intended to summarize and discuss the most important results obtained in Micrasterias in the last 20 years and to compare the results to similar processes in higher plant cells.The unicellular freshwater alga Micrasterias has an exceptional position due to its highly ornamented, star-shaped morphology with deep indentations and furcated lobe tips . By their beauty, their high symmetry and their flat, disk-shaped cell architecture facilitating any microscopic analysis as well as their close relationship to higher plants .ogenesis , 1970a aMicrasterias cell consist of a constant number of 11 cisternae throughout the cell cycle and that they switch a several times during morphogenesis to form the different vesicle populations that contain cell wall precursors for septum-, primary- and secondary wall formation. These results obtained by standard chemical fixation were confirmed in a later study on high pressure frozen Micrasterias cells syndrome , into the expanding semicell and returns to the cell center at the end of morphogenesis. Coincidently the chloroplast which has duplicated before mitosis, expands itself into the growing semicell. Its shape copies the outer cell shape at the end of development. Both organelle movements are cytoskeleton dependent clearly show that the cellulose content of the primary wall of the outgrowing lobes is much lower than that of the indentations in which the cell wall is thicker and less extensible. This technique also demonstrates unambiguously the considerable difference in thickness and cellulose content between the growing primary and the non-growing secondary cell wall. The degree of pectin esterification which determines the calcium-binding capacity accounts for the flexibility of the cell wall during primary wall growth. A combination of immuno TEM, immuno fluorescence, de-esterification studies and calcium measurements by TEM-coupled electron energy loss spectroscopy (EELS) has shown which leads to wall stiffening and growth cessation. Enzyme activity assays provided evidence for the existence of a pectin-desterifying enzyme in M. denticulata. Moreover, enhanced desterification by experimental addition of a pectin methylesterase that de-esterifies pectins in higher plants, resulted in growth inhibition and shape malformation of Micrasterias in the primary cell wall suggests an involvement of the recognized AGP type 2 proteoglucans by an antibody directed against higher plant epitopes suggests that these xyloglucans are secreted in Micrasterias similar to higher plant cells. Interestingly the secondary wall of Micrasterias but not the primary wall also contains mixed-linked glucans [-\u00df-D-glucans; Ulva lactuca and in the liverwort Lophocolea bidentata by -\u00df-D-glucanase digestion . Thus precise definition of a developmental stage of Micrasterias is easily possible by a TEM image of just a few Golgi bodies and their associated vesicles. As mucilage vesicles are delivered from the dictyosomes consistently, also in non-growing cells or sodium nitroprusside (SNP) selectively suppressed secondary wall formation in Micrasterias has yielded first information on the 3-D architecture of Golgi stacks in M. denticulata .Dictyosomes of see also . In growsee also they havticulata . This metrans-Golgi cisternae were found to be in contact with these trans-ER cisternae. This finding is particularly interesting as \u201ctrans-ER\u201d systems are well known from mammalian cells in which the cell pattern is only expressed at one half of the cell. Only at the patterned side of the cell calcium influxes were measured or visualized by fluorescent markers, whereas at the non-patterned side no fluorescent signals were visible and outward directed currents were measured which is regarded as key molecule for intracellular signaling and is involved in developmental and growth processes of higher plants but also in programmed cell death and defense mechanisms and antagonists inhibited cell growth and evoked substantial cell shape aberrations when applied to early developmental stages . Particularly the classic acetylcholine-receptor agonist nicotine additionally suppressed formation of the secondary cell wall. The presence of cholinergic receptors in Micrasterias was concluded from these results. They are obviously involved in growth of this alga and thus, like in higher plant cells, represent a basis for light induced differentiation the dictyosomes become involute, the number of their cisternae decreases and vesicle production is either reduced or completely inhibited . AbnormaMicrasterias is highly adapted to UV-B irradiation, which may explain the worldwide distribution and the presence of this group of algae even in high mountain areas or Polar Regions. It remains to be investigated how the considerable UV-B resistance of Micrasterias is achieved. As in other algae, a protecting function of the surrounding mucilage envelope or of the thick secondary cell wall, absorbance by particular metabolites and/or a very well developed physiological repair system may account for it represents a key molecule in biotic und abiotic stress and induces programmed cell death (PCD) in plant and animal cells.Unfavorable environmental conditions such as UV irradiation, high light intensities, drought, salinity or man-made entry of heavy metals by traffic or agricultural practices, as well as compounds like herbicides may cause oxidative stress in higher plants but also in aquatic photosynthetic organisms. Among the different reactive oxygen species (ROS) hydrogen peroxide . As the activity of caspase-like proteins known to be involved in PCD of plant cells .Oxidative stress following different kinetics of increased ROS production is also evoked in Micrasterias inhabit, the algae may face rapidly changing osmolarities of their surroundings water by evaporation during high temperature periods as well as by dilution during rain. Additionally the cells are endangered by increase in salinity which may occur due to agricultural practices such as fertilization or to road salt. In contrast to salt tolerant green algae such as Dunaliella, Chlamydomonas or Chlorella that have developed metabolic strategies to cope with elevated salinity up to 26 mosm/kg results in a steady decrease of the cell number as indicated by a particular cell division assay . Similar structural alterations of mitochondria are known from higher plant cells under anoxic conditions . They increase in size by fusion with ER compartments and are finally absorbed by huge ER cisternae that pervade the cytoplasm. In contrast to our earlier assumptions it becomes evident that one and the same organism is capable of performing different PCD pathways. This suggests that different stress inductors may activate different cellular reactions. An increase in caspase-3-like activity as found after oxidative stress in Micrasterias and is also well known from stress response in higher plant cells . Additionally and more specifically, electron dense precipitations in bag-like structures were found in random distribution along the inner side of the cell wall under CrVI impact. The latter structures contained Cr as measured by EELS along with elevated levels of iron and oxygen. As these Cr containing bags were located outside of the plasma membrane these results indicate that Cr is extruded from the Micrasterias cell in form of an iron-oxygen compound were found in Cd exposed cells. Vesicles were no longer found at the cisternal rims or in surrounding of the dictyosomes indicating a loss in secretion activity. The remaining inoperable dictyosomes consisted of only a few ring-shaped cisternae that were frequently surrounded by dilated ER cisternae . Also the kinetics of ROS production during Cd exposure of Micrasterias corresponds to that during salt stress , excretion by mucilage vesicles and intracellular compartmentalization seem to be the most important detoxification strategies of Micrasterias that allow survival of the cells at least within certain concentration and duration limits.In summary these results show that physiological reactions of Micrasterias is well suited as model system in plant cell biology for multiple reasons. The alga reveals an exceptional multipolar tip growth with several lobes developing simultaneously at the same plane. The continuously changing growing and non-growing zones of the primary cell wall allow for studying growth regulation in directly adjacent areas within one and the same cell and has high potential for providing insight into involvement of the cytoskeleton or ionic components in growth and cell shape formation. The alga develops two distinctly distinguishable cell walls that in their composition both resemble that of higher plant cells. The flexible highly pectic primary wall of Micrasterias is similar to cell walls in tip growing plant cells such as pollen tubes or root hairs and the protective thick cellulose-rich secondary wall corresponds to walls of non-growing higher plant parenchymatic cells. The extremely large dictyosomes that correspond to the large cell size provide excellent possibilities for investigating their function. They are enveloped by a huge ER sheath, consist of a constant number of 11 cisternae during the entire cell cycle and produce vesicle continuously even in non-growing periods. As most of their products are already well defined they lend themselves not only for basic cell biological studies on the function of the secretory machinery but represent also highly sensitive indicators for any kind of stress. Experimental or environmental impact on Micrasterias is easily recognizable not only by cell shape malformations but also by characteristic structural and functional reactions of the dictyosomes. They occur during high salinity or oxidative stress in the same way as during impact by different metal or herbicide pollutants indicating that dictyosomes in Micrasterias are highly sensitive stress sensors. Also degradation of dictyosomes under severe stress, achieved by detachment of single cisternae at both side of a Golgi stack occurs similarly during different stress scenarios. Degraded dictyosomes are absorbed by ER cisternae reflecting the high similarity between Golgi and ER membranes as also known from higher plant cells.This review shows that the alga Micrasterias cells are capable of coping with environmental pollution to a considerable degree. This is accomplished by an obvious physiological flexibility as well as by the capability of the Micrasterias cell of performing autophagy, and of compartmentalizing pollutants in cell walls and vacuoles, respectively, by excreting them via constant mucilage production. The molecular players that are involved in these processes as well as a possible regulation by signal molecules such as phytohomones remains to be investigated. Further establishment of molecular tools and sequencing of essential regulators combined with employment of high resolution 3-D microscopic techniques will enable the next steps for elucidating cell shape formation and for understanding intracellular stress response regulation. By its exceptional features and its close relation to higher land plants Micrasterias may help in detecting plant specific cellular processes and pathways that would remain undiscovered when only using \u201cclassical\u201d model system such as Arabidopsis.Despite their natural adaptation to oligotrophic, low salt-concentrated waters, The author confirms being the sole contributor of this work and approved it for publication.The author declares that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "SHANK3, a gene that has been strongly linked to autism spectrum disorders, is known to be a major cause of the neurobehavioural manifestations of PMS. Buxbaum and co-authors assessed the effects of Shank3 deficiency in three different strains of laboratory mice. Their extensive behavioural tests demonstrate that phenotypes observed in Shank3-deficient mice are largely similar regardless of strain. This indicates that differences in genetic background are unlikely to account for the high variability in disease phenotypes observed in individuals with PMS. This unexpected finding suggests that modifier loci do not play a role in PMS pathogenesis, and other potential contributory factors should be explored to gain a deeper understanding of the underlying disease mechanisms. 667Page The genetic background in which a disease-associated mutation is expressed can have a profound impact on the resulting disease phenotype. The identification of so-called \u2018modifier genes\u2019 can therefore provide insights into disease pathophysiology and could also reveal novel targets for therapeutic intervention. In this study, Joseph Buxbaum and colleagues sought to determine whether modifier loci affect the severity and range of autistic behaviours and developmental deficits associated with the genetic disorder Phelan-McDermid syndrome (PMS). Deletion of"}
+{"text": "Invasive Group-B streptococcal (GBS) disease is a leading cause of infant mortality and morbidity worldwide. GBS colonises the maternal rectum and vagina and transmission of bacteria from a colonized mother to her infant at birth is an important risk factor for GBS disease. GBS disease has also been associated with case reports of transmission via infected breast milk raising questions about mode of acquisition and transmission of this enteric pathogen and the development of neonatal disease. However, most breastfed infants remain unaffected by GBS in breast milk. Mechanisms associated with transmission of GBS in breast milk and potential factors that may protect the infant from transmission remain poorly understood. Understanding factors involved in protection or transmission of GBS infection via breast milk is important both for premature infants who are a high-risk group and for infants in the developing world where breastfeeding is the only sustainable infant feeding option. In this review we discuss the proposed mechanisms for GBS colonization in breast milk on one hand and its immune factors that may protect from transmission of GBS from mother to infant on the other. Innate and adaptive immune factors, including serotype-specific antibody and their significance in the prevention of infant disease are presented. We further report on the role of human oligosaccharides in protection from invasive GBS disease. Advances in our knowledge about breast milk and immunity in GBS disease are needed to fully appreciate what might mitigate transmission from mother to infant and protect neonates from this devastating disease and to contribute to the development of novel prevention strategies, including maternal immunization to prevent infant disease. Early onset (EO) GBS disease (disease presenting in the first six days of life) accounts for approximately 60\u201370% of all GBS disease. GBS serotypes Ia, Ib, II, III and V are responsible for most EO disease [12]In the USA EO disease rates have declined from 1.4 per 1000 live births in 1990 GBS colonizes the rectum and vagina, and maternal colonization is a pre-requisite for EO disease and a risk factor for LO It has been suggested that GBS initially colonizes the infant's oropharyngeal mucosa when contact with maternal vaginal secretions occur at the time of birth Therefore, there appears to be a dichotomy between cases of LO disease through infected breast milk and the potential benefits of the components of breast milk which protect the majority of infants from invasive disease. The underlying mechanisms of GBS transmission or protection through breast milk, are not fully understood, but are important to elucidate, particularly in the context of premature infants who are a high risk group and for infants in the developing world where breastfeeding is the only sustainable infant feeding option. In this review we focus on the peculiarities of GBS that may aid transmission in breast milk and the role of immune parameters such as antibody in breast milk on the other hand that may help protect the breastfed infant from GBS disease.22.1Few studies have identified presence of GBS in breast milk, and methodological differences make comparisons difficult 3 to 109\u00a0cfu/mL of GBS at any point, representing a reservoir of potential infection for the neonatal gut The variety of delivery, treatment and storage methods of breast milk offers potential for GBS contamination. Human breast milk may contain 10Very recently, best practices on the use of breast milk in the context of prevention of GBS neonatal disease have been proposed, including the search for GBS in milk at the time of recurrent GBS neonatal disease and in cases of mastitis in mothers of high-risk preterm neonates admitted to neonatal intensive care units 2.2Two main mechanisms of acquisition have been proposed: following colonization of the neonatal oropharynx at the time of birth, mothers may develop colonization of the milk ducts through ascending infection from the neonate, due to the retrograde flow of milk associated with suckling. The infant is then reinfected as the concentration of bacteria increases in the breast milk GBS may infect the submucosa of the gastrointestinal tract either through a defect in the epithelial cell layer, or by concomitant infectious agents 33.1l-selectin and CD14, which may mediate differentiation and growth of B cells Breast milk is the main source of non-pathogenic bacteria to the infant gastrointestinal tract. Intestinal bacteria are one of the most important stimuli for the development of mucosa-associated lymphoid tissue (MALT) in the neonatal small intestine Human breast milk is known to contain factors that can modulate toll-like receptor (TLR) signaling, including soluble TLR2, which can competitively inhibit signaling through membrane TLR2 4Neonates have low levels of SIgA and SIgM It is currently hypothesized that SIgA represents the crucial primary protective component of breast milk 5SIgA production is enhanced by Interleukin-6 (IL-6) whilst the production of secretory components is enhanced by TNF-\u03b1 and TGF-\u03b2 causes class switching towards B cells producing IgA Vibrio cholerae, Campylobacter, Shigella, Giardia lamblia and respiratory tract infections was significantly related to the content of SIgA antibody in breast milk against these pathogens SIgA antibodies present in breast milk are specific for numerous enteric and respiratory pathogens. In studies from resource-poor countries, breast milk-mediated protection against infections with SIgA is more resistant to proteolysis than other immunoglobulins and is therefore able to function in the gastrointestinal tract S. pneumoniae and Haemophilus influenza to human retropharyngeal cells Breast milk contains SIgA antibodies against bacterial-adhesion-site-like pili N. meningitidis-specific IgA antibodies in breast milk up to six months post partum in vaccinated infants H. influenzae vaccine in the third trimester and remained higher at seven months post partum. [69]The effect of third trimester maternal immunization with a single dose of licensed quadrivalent meningococcal vaccine on the potential protection of infants, including by breast milk demonstrated elevated 6As described above, high levels of breast milk SIgA could offer protection to neonates via interference of antibody with the carbohydrate-mediated attachment of GBS to nasopharyngeal epithelial cells. Through this mechanism, colonizing organism load may be reduced with a consequent reduction in morbidity and mortality caused by GBS in the neonatal period In transition milk, low or moderate IgA antibodies to CPS type III GBS, were detected in approximately 63% of a cohort of 70 Swedish women To determine the effect of maternal immunization with GBS CPS-II and CPS-III antibody on postnatal protection from disease a rodent model has been used, where increased survival in pups exposed postnatally to breast milk with high titers of antibody compared to low titers was shown, supporting the beneficial added effect of breast milk antibody following vaccination 7S. pneumoniaeEscherichia coli (E. coli) E. coli and Campylobacter jejuni toxin can be neutralized by oligosaccharides Vibrio cholera and E. coliOligosaccharides prevent cell adherence for GBS type Ib and II polysaccharides are of interest as they are virtually identical to certain oligosaccharides present in human milk 8Most neonatal infections occur via mucosal membranes in the respiratory, gastrointestinal, and urinary tracts, yet there is only limited protection at these vast mucosal surfaces during the neonatal period. Breast milk provides considerable amounts of specific SIgA antibodies that are produced as a result of microbial and food antigens the mother has previously encountered. Such SIgA antibodies from breast milk provide protection to the neonate at the mucosal surface. Breast milk additionally contains high concentrations of non-specific protective molecules, such as lactoferrin that has bactericidal, viricidal, and fungicidal properties. Milk oligosaccharides might block adherence of microorganism at the mucosal surface by functioning as receptor analogues.H. influenzae infections, as well as wheezing illness may persist for years after breastfeeding. However, the role of breast milk antibody in protection from neonatal GBS disease remains poorly understood. Current research is evaluating transport, persistence and function of GBS antibodies and other immune-constituents in breast milk. These studies aim to identify protective factors involved in the passive transfer of immune components in breast milk and associated protection from colonization and infant disease. Additionally, research correlating neonatal colonization with antibody levels in breast milk would provide insight into possibly protective factors from disease.There is increasing data from recent publications that enhanced protection against diarrhea, respiratory tract infections, otitis media and None declared.KLD developed the research idea, undertook the literature review and prepared the first draft of the manuscript. BK developed the research idea and substantially contributed to the drafting and revision of the manuscript.Wellcome Trust/Imperial Global Health Fellowship and the Royal College of Physicians Thomas Watt Eden Fellowship. BK is funded by the MRC and the NIHR.KLD is funded by a"}
+{"text": "Missing data represent a potential source of bias in randomized clinical trials (RCTs). A simple approach that makes use of the responses subsequently obtained via reminder is proposed to assess the validity of the inferences from a missing at random (MAR)-based primary analysis of incomplete RCTs.We explored mechanism behind the reminder responses in two pragmatic RCTs - the TATE and STarT Back trials - by utilizing the fact that data that are recovered through reminders would otherwise have been missing. The present approach considered two data scenarios: (i) with the actual dataset and (ii) with a modified dataset, where outcome responses obtained after a certain number of reminders were treated as missing. The impact of the reminder responses was assessed by comparing the estimates from MAR-based analyses between the two data scenarios.In the TATE trial, the reminder approach showed that an MAR-based analysis was likely to yield biased estimates of treatment effect. Therefore, further sensitivity analyses were required under a range of plausible missing not at random (MNAR) assumptions. However, in the STarT Back trial, this approach showed that an MAR-based analysis was likely to yield an unbiased estimate of treatment effect.The proposed reminder approach can be used to assess the robustness of the MAR assumption by checking expected consistency in MAR-based estimates. If the results deviate, then MAR-based estimates are likely to be biased, and analyses incorporating a range of plausible MNAR assumptions are advisable at least as sensitivity tests for the evaluation of treatment effect."}
+{"text": "Head and neck cancers (HNCs) are aggressive tumors that typically demonstrate a high glycolytic rate, which results in resistance to cytotoxic therapy and poor prognosis. Due to their location these tumors specifically impair food intake and quality of life, so that prevention of weight loss through nutrition support becomes an important treatment goal. Dietary restriction of carbohydrates (CHOs) and their replacement with fat, mostly in form of a ketogenic diet (KD), have been suggested to accommodate for both the altered tumor cell metabolism and cancer-associated weight loss. In this review, I present three specific rationales for CHO restriction and nutritional ketosis as supportive treatment options for the HNC patient. These are (1) targeting the origin and specific aspects of tumor glycolysis; (2) protecting normal tissue from but sensitizing tumor tissue to radiation- and chemotherapy induced cell kill; (3) supporting body and muscle mass maintenance. While most of these benefits of CHO restriction apply to cancer in general, specific aspects of implementation are discussed in relation to HNC patients. While CHO restriction seems feasible in HNC patients the available evidence indicates that its role may extend beyond fighting malnutrition to fighting HNC itself. Head and neck cancer (HNC) is a collective term for cancers originating from the lip, oral and nasal cavity, paranasal sinuses, pharynx, larynx and trachea. Approximately 90% of HNCs are head and neck squamous cell carcinoma (HNSCC) originating from the mucosal lining (epithelium) of these regions.,Frequent comorbidities of HNCs include various feeding difficulties and malnutrition that are often aggravated by tobacco and alcohol abuse and a general unhealthy lifestyle,,-Like most aggressive tumors, HNCs exhibit a high rate of and dependence on glycolysis to meet their metabolic demandsIn this review I am going to present three main rationales for the implementation of CHO restricted and KDs in HNC patients. Briefly, these are (1) targeting the altered tumor cell metabolism; (2) increasing the radio- and chemosensitivity of malignant cells while protecting normal cells; (3) accounting for the altered metabolism of the tumor-bearing host. Due to the various problems regarding food intake, the question remains whether CHO restriction is feasible in HNC patients. In the final part of this paper, I therefore address specific aspects and practical issues of such a dietary intervention.-in vivo and in vitro measurements, Warburg showed that compared to normal tissues, tumors would take up several times more glucose from the surroundings and ferment the majority of it to lactate even in the presence of sufficient oxygen that would normally suppress lactate production. This metabolic phenotype of increased glucose uptake and lactate production is therefore known as the Warburg effect or aerobic glycolysis since it also happens in normoxic conditions.A hallmark of HNC, like most cancers in general, is their high avidity for glucose uptake. Otto Warburg and his co-workers at the former Kaiser Wilhelm-Institute for Biology in Berlin were the first to quantify glucose uptake and energy generation in a large variety of animal and human tumors18F)fluoro-2-deoxy-D-glucose (FDG). FDG is structurally similar to glucose except for the substitution of an OH group by the positron emitter 18F. Similar to glucose it therefore enters the cells through glucose transporters and gets phosphorylated by the enzyme hexokinase. Unlike glucose, however, FDG cannot be further metabolized after phosphorylation to FDG-6-phosphate and stays trapped inside the cell until it decays. The amount of assimilated FDG is quantified by the standardized uptake value (SUV) which expresses the ratio between the measured tissue activity and the injected activity standardized to body weight. In HNC FDG-PET in combination with computer tomography (PET/CT) has shown great benefit for tumor and lymph node staging, detection of an unknown primary tumor, radiation treatment planning, evaluation of therapy response and long-term surveillance,-The Warburg effect is the basic principle behind molecular imaging using positron emission tomography (PET) with the glucose analog 2--acetate PET measurements of tumor perfusion and oxidative metabolism in a small cohort of HNSCC patients that indicated that tumors utilizing predominantly glycolysis are more resistant to ionizing radiation than those with high cellular respiration,,et al.The correlation between glycolytic rate and tumor aggressiveness is not only reflected on the side of glucose influx and hexokinase activity, but also at the final step of glucose fermentation in which pyruvate gets reduced to lactate. A large proportion of HNSCC overexpress lactate dehydrogenase 5, the enzyme that catalyzes this conversion, and this was correlated with poor prognosis,,,,-On a molecular level HNC is a heterogeneous disease, complicating prognostication and the search for causative factorsTP53 gene is found to be mutated in approximately 60% of all HNSCC, and its protein product p53 inactive in another 20% due to degradation by the human papilloma virus oncoprotein E6,,,-TP53-induced glycolysis and apoptosis regulator (TIGAR) is often observed in tumor cells, causing an up-regulation of the oxidative and non-oxidative PPP which are important for the production of NADPH and ribose-5-phosphate (an anabolic intermediate needed for nucleotide production), respectivelyThe tumor suppressor p53 is one example since its activity and stability can be regulated through lysine methylation and acetylation by various histone-modifying proteins. Although epigenetic silencing of p53 seems rare in HNSCC,,-,,et al.,SDHC gene encoding the C subunit of the TCA cycle enzyme succinate dehydrogenase. As a consequence succinate accumulates in the mitochondria and leaks out into the cytosol where it inhibits certain prolyl hydroxylase enzymes leading to stabilization of HIF-1\u03b1 and aerobic glycolysisHRAS transformation impairs mitochondrial respiration which subsequently increases glycolysis without compromising mitochondrial mass or contentFinally, p53 plays an important role in mitochondrial DNA (mtDNA) repair and stability, and some studies have shown associations between mutant p53 and mtDNA mutationsin vitro experiments have shown that cancer cells are particularly vulnerable to glucose (and glutamine) restriction,,-,,,,,The shift in HNC metabolism towards aerobic glycolysis concurrently provides high energy production, cytotoxic stress resistance, building blocks for rapid proliferation and the ability to migrate out of the cell compartment. However, this comes at the expense of metabolic flexibility. The genetic and epigenetic alterations found in HNC cells in conjunction with mitochondrial defects and hypoxia leave these cells extremely dependent on a steady supply of nutrients, especially glucose. Numerous -,et al.CHO restriction and its replacement with fat elevate free fatty acids and decreases glucose concentrations in serum. Fatty acids\u2014in particular the saturated ones\u2014have been shown to inhibit the key glycolytic enzymes hexokinase, phosphofructokinase, pyruvate kinase and lactate dehydrogenase-The role of hypoxia in up-regulating glycolytic enzymes and glucose entry into the cells is well established. Already Warburg was aware of the poor capillary network of tumor tissue and hypothesized that tumors are more vulnerable to simultaneous glucose and oxygen deprivation due their worse \u201cchannels of supply\u201d,,CHO restriction has the ability to counteract signaling through the phosphatidylinositol-3 kinase\u2212Akt\u2212mammalian target of rapamycin (PI3K\u2212Akt\u2212mTOR) pathway. This pathway is activated by insulin and growth factors such as insulin-like growth factor-1 (IGF-1) and its effect is, among others, an up-regulation of glycolysis,Conflicting and often negative results concerning an association between IGF-1 and cancer have been reported for a variety of cancers including HNC,,Insulin inhibition may be less effective in later stages of tumor progression as genetic and epigenetic alterations accumulate and chronically activate the PI3K\u2212Akt\u2212mTOR pathwayIn summary CHO restriction and KDs in particular exert systemic effects on oncogenic signaling pathways that counteract tumor glycolysis but\u2014owing to the complexity of the signaling networks involved and the large genetic heterogeneity of HNC tumors\u2014need to be further investigated.,-The relationship between inflammation and HNSCC becomes apparent from a Hungarian study showing an increased prevalence of oral inflammatory, premalignant and cancerous lesions among diabetics compared to healthy controlset al.P<0.0001) risk factor for locoregional failure and death. Although detailed information on the composition of the nutritional support was lacking, it is clear that the standard nutrition support formulas used at that time contained a high percentage of high glycemic CHOs which would lead to blood sugar and insulin spikes and fuel inflammation. It is also clear from these results that the treating physician should not only focus on the quantity of calories, but that their quality might be more important for patient survival.It therefore seems prudent to limit high blood glucose spikes that may particularly occur with nutritional support containing simple sugars. In a retrospective analysis of data from the RTOG 90-03 trial involving 1,073 HNSCC patients, Rabinovitch ,,-,The optimal treatment of HNC requires a multidisciplinary approach in which radiation therapy constitutes the major modality besides surgery-With few exceptions, normal tissues readily oxidize ketone bodies thereby decreasing the mitochondrial NADP+/NADPH ratio. This in turn increases the amount of reduced GSH available for scavenging ROSCHO restriction also up-regulates lipid oxidation which increases the intracellular NAD+/NADH ratio and thus amplifies the NAD+-dependent activity of SIRT1in vitro data indicate that ketone bodies themselves can have anti-proliferative effects on some tumor cells,,,,CHO restriction may also impair tumor re-growth during radiotherapy fractions and delay the accelerated proliferation that is known to start in HNSCC at some point during radiation treatment. We have previously reviewed the wealth of preclinical data showing that CHO restriction alone delays tumor growth in a variety of tumor models-Some preclinical studies have further shown that CHO restriction either in the form of overall calorie restrictionIn summary, there is evidence that CHO restriction acts as a cytotoxic sensitizer in tumor tissue while simultaneously protecting normal tissue which supports its implementation during standard treatment for HNC. The main effects are summarized in ---,,Unintentional weight loss is a common problem in HNC patients. It is often present already at the time of diagnosis and indicates malnutrition or an early cachectic state. Weight loss is usually influenced by disease- and treatment-associated problems with food intake such as dysphagia, xerostomia, mucositis and anorexia. Cachexia differs from malnutrition or physiological states of low calorie intake in that it is characterized by a progressively increasing change in whole-body metabolism that induces a continuous loss of skeletal, but not visceral, tissue. It is driven by a complex interaction between the tumor and its host involving a multitude of heterogeneous factors that are, however, mostly connected to chronic systemic inflammation,et al.et al.,These metabolic alterations indicate a general dysfunction in the utilization of glucose and an increased demand on fat as an energy source. This is quite contrary to the metabolism of tumor tissue that mainly utilizes glucose. It has therefore been recommended to account for these metabolic differences between the tumor and its host through either a high-fat low-CHO diet or a KDIn HNC patients, even \u201csufficient\u201d energy and protein intakes have been shown to be insufficient for preventing significant weight and lean tissue loss during treatment,-,,,Despite the evidence outlined above showing how CHO restriction counteracts tumor glycolysis, accounts for the altered metabolism of the tumor-bearing patient and may even improve the tolerability of radiation treatment, some authors still question the scientific rationale for the KD and deny any possible benefitsStudies so far have shown that individual dietary counselling during radiotherapy of HNC is more effective than standard or no dietary advice for preventing long-term weight loss and improving quality of life, although the effects of these interventions on mortality have not been assessedIn conclusion, CHO restriction in the HNC patient seems feasible and therefore realistic, but requires additional time and effort as it has to be tailored towards the individual patient. This, however, is a general problem in HNC patients, and efforts on nutritional counselling generally seem to pay off. Clearly, the tolerability of and response to CHO restricted diets is also individual and some patients reach ketosis more easily than others. Hopefully future studies will show which patients benefit most from CHO restriction. Currently a phase I clinical trial (NCT01975766) at the university of Iowa recruits HNSCC patients to investigate the safety of a KD plus concurrent chemoradiation with a secondary outcome being progression-free survival. Until the results are published, this paper hopefully encourages physicians to make their own experience with offering CHO restriction to their patients as a non-toxic approach to fight HNC."}
+{"text": "Here, we present a new computational modelling approach for estimating viral fitness that relies on common sparse cross-sectional clinical data by combining statistical approaches to learn drug-specific mutational pathways and resistance factors with viral dynamics models to represent the host-virus interaction and actions of drug mechanistically. We estimate in vivo fitness characteristics of mutant genotypes for two antiretroviral drugs, the reverse transcriptase inhibitor zidovudine (ZDV) and the protease inhibitor indinavir (IDV). Well-known features of HIV-1 fitness landscapes are recovered, both in the absence and presence of drugs. We quantify the complex interplay between fitness costs and resistance by computing selective advantages for different mutants. Our approach extends naturally to multiple drugs and we illustrate this by simulating a dual therapy with ZDV and IDV to assess therapy failure. The combined statistical and dynamical modelling approach may help in dissecting the effects of fitness costs and resistance with the ultimate aim of assisting the choice of salvage therapies after treatment failure.Despite the success of highly active antiretroviral therapy (HAART) in the management of human immunodeficiency virus (HIV)-1 infection, virological failure due to drug resistance development remains a major challenge. Resistant mutants display reduced drug susceptibilities, but in the absence of drug, they generally have a lower fitness than the wild type, owing to a mutation-incurred cost. The interaction between these fitness costs and drug resistance dictates the appearance of mutants and influences viral suppression and therapeutic success. Assessing in vivo viral infection dynamics. This approach enables us to estimate mutant fitness characteristics. We illustrate our method by predicting fitness characteristics of mutant genotypes for two different antiretroviral therapies with the drugs zidovudine and indinavir. We recover several established features of mutant fitnesses and quantify fitness characteristics both in the absence and presence of drugs. Our model extends naturally to multiple drugs and we illustrate this by simulating a dual therapy with ZDV and IDV to assess therapy failure. Additionally, our modelling approach relies only on cross-sectional clinical data. We believe that such an approach is a highly valuable tool in assisting the choice of salvage therapies after treatment failure.Mutations conferring drug resistance represent major threats to the therapeutic success of highly active antiretroviral therapy (HAART) against human immunodeficiency virus (HIV)-1 infection. Viral mutants differ in their fitness and assessing viral fitness is a challenging task. In this article, we estimate drug-specific mutational pathways by learning from clinical data using statistical techniques and incorporate these into mathematical models of Understanding the accumulation of mutations and associated genotypic and phenotypic changes is critical for prediction of treatment failure and selection of optimal patient-specific treatments in vitro settings in vitro fitness measures learning drug-specific mutational pathways from cross-sectional in vivo data and modelling viral infection dynamics on these genotype lattices, and (ii) by coupling the resistance factor, an abundant and accessible in vitro measure of drug resistance, to drug efficacy and rate constants of the virus-host dynamics in vivo. This approach allows to leverage sparse clinical data for the estimation of in vivo fitness characteristics, which is a first step towards analyzing and ultimately predicting clinical outcomes of drug combinations and assessing causes of therapy failure.The objective of this article is to enable estimation of in vivo data is based on continuous-time conjunctive Bayesian networks in vitro data by isotonic regression models. The integration is finally achieved by a quantity common to both approaches, the estimated/predicted waiting time for different mutations.Specifically, our statistical approach to estimate mutational pathways from There has been great interest in performing simulations of antiretroviral therapy to assess treatment outcome. Recent studies We estimate fitness characteristics of mutants for two antiretroviral drugs from two different major drug classes: zidovudine (ZDV), a nucleoside reverse transcriptase inhibitor, and indinavir (IDV), a protease inhibitor. Then, we characterize the interplay between fitness costs and resistances in mutant selection during therapy by computing selective advantages of different mutant genotypes. Finally, we illustrate how our model extends to multiple drug therapy by simulating a dual therapy with ZDV and IDV and examine reasons for virological failure in such a setting.We used a dataset obtained from the Stanford HIV Drug Resistance Database described in Using this dataset, the resistance factors of the genotypes and the partially ordered set (poset) of resistance mutations were estimated using isotonic conjunctive Bayesian network (I-CBN) models. In conjunctive Bayesian networks, a partial order is used to encode dependencies among mutations. A genotype is formally defined as a subset of mutations. The set of genotypes compatible with the order constraints of the poset is called the genotype lattice . In the We used a drug efficacy of in vitro assays and some in vivo observations. The agreement holds true for general reported ranges of fitness costs of alid see . Across In addition to estimated fitness characteristics, the viral load time courses predicted by our model gave insights into the dynamics of different mutations. In the TAM-2 pathway, we observed a transient disappearance of mutation 70R before its eventual fixation, as was reported earlier We again used the Stanford HIV Drug Resistance Database The estimated fitness costs, resistance factors and selective advantages agreed wIn addition to these general fitness trends, specific characteristics of particular mutations were also in line with prior findings. The minor mutation 71V is known to play a compensatory role Nijhuis et al. As with ZDV, we studied parameter identifiability by considering an ensemble of fits with an RMSD stimates to be veThere is great interest in using viral dynamics models to study antiretroviral treatment to assess therapy outcomes and simulate clinical trials We observed that there are different regimes of the individual drug efficacies . Subsequent to this, we were able to simulate the dual therapy and assess genotypic reasons of therapy failure.in vivo mutational landscapes. Our approach relies on typical and frequently available clinical data, which consists of left-censored observations, as opposed to extensive time course measurements of different mutant genotypes, that are generally scarce. Mutations are detected through their appearance in specific mutant genotypes and our model describes how their dynamics is coupled. Although there is considerable debate on appropriate measures of fitness and clinically relevant quantifiers in vivo clinical relevance as correlations between fitness measures and standard treatment outcome markers, such as viral load, We have presented an HIV-1 infection dynamics model with statistically learned drug-specific in vivo fitness characteristics has relied on detailed viral load measurements of different mutant strains, which is rarely possible in realistic clinical situations. Our approach utilized statistical learning methods to estimate mutational landscapes from clinical data that were then incorporated into a mechanistic viral dynamics model. Our results are also in agreement with an earlier study So far, mechanistic modelling of HIV infection has mainly used fixed fitness costs with the infection dynamics being examined for different values of these fitness costs The simulation of antiretroviral treatments has generated interest, particularly in the context of assessing therapy failure and in explaining puzzling clinical observations. For example, clinical trials have shown in vivo mutation landscapes aimed at capturing the complex competition dynamics between the different mutant strains. It was based on a simplified representation of drug pharmacokinetics (PK) and effect. If detailed data on drug PK and patient-specific viral load dynamics and baseline characteristics are available, a population-pharmacokinetic/pharmacodynamic analysis would be the appropriate approach to account for inter-individual variations The presented viral infection dynamics model incorporating drug-specific There are several mechanisms of resistance in HIV-1 infection. In addition to the mechanisms included in the two-stage virus dynamics model, features such as the compensatory Gag mutations in vivo mutational landscapes and allows for the estimation of mutant fitness characteristics. Importantly, it relies only on cross-sectional clinical data and, as demonstrated, extends naturally to combination therapies. We believe that it is a promising approach to analyze treatment outcomes with drug combinations or to study optimal switching strategies.In summary, we have presented a new approach to model HIV-1 infection dynamics that incorporates drug-specific The viral infection cycle was described by the two-stage model presented in vice-versa), we set Mutations in the viral genome occur during the process of reverse transcription, but manifest themselves only after the viral DNA has been integrated into the host genome. Hence, mutations were modelled to occur between early infected cells . However, as in In detailed mechanistic models with nonlinearities, parameter identifiability and sloppiness in estimation is a common concern More details on the RMSD threshold and the number of fits considered are provided in the Supplementary For dual therapy with ZDV and IDV, the poset was constructed by combining the posets of the individual drugs. If If ode15s in MATLAB R2010b with relative and absolute tolerances of For simulations of the dual therapy with ZDV and IDV, we used the variable order ODE-solver Figure S1Cumulative histograms of correlations of fitnesses between valid fits and best fit.(PDF)Click here for additional data file.Figure S2Distribution of mechanistic waiting times from 1000 simulations of the virus dynamics model.(PDF)Click here for additional data file.Figure S3Two compartment pharmacokinetic model for ZDV and fluctuating drug-effect.(PDF)Click here for additional data file.Figure S4Variability of resistance factors under ZDV and IDV therapy.(PDF)Click here for additional data file.Figure S5Predicted mutational abundance from 500 hybrid deterministic-stochastic simulations of IDV monotherapy.(PDF)Click here for additional data file.Figure S6Cumulative histograms of correlations of fitness costs between fits with varying RFs and the best fit.(PDF)Click here for additional data file.Table S1Parameters of viral dynamics model used in the simulations.(PDF)Click here for additional data file.Table S2Statistical and mechanistic waiting times to observe mutations under ZDV and IDV monotherapy.(PDF)Click here for additional data file.Table S3Conservation of estimated fitness characteristics of ZDV and IDV mutants amongst valid fits.(PDF)Click here for additional data file.Table S4Statistical and mechanistic waiting times to observe mutations under ZDV monotherapy with ZDV concentration described by a two-compartment pharmacokinetic model.(PDF)Click here for additional data file.Table S5Mean and variance of observed resistance factors for ZDV and IDV mutants.(PDF)Click here for additional data file.Table S6Median of mechanistic waiting times predicted from 500 hybrid deterministic-stochastic simulations of the model for IDV monotherapy.(PDF)Click here for additional data file.Text S1Model descriptions, parameter sensitivity, pharmacokinetics and hybrid deterministic-stochastic simulations.(PDF)Click here for additional data file."}
+{"text": "Cardiac remodeling describes the heart's multimodal response to a myriad of external or intrinsic stimuli and stressors most of which are probably only incompletely elucidated to date. Over many years the signaling molecules involved in these remodeling processes have been dichotomized according to a classic antagonistic view of black and white, i.e., attributed either a solely maladaptive or entirely beneficial character. By dissecting controversies, recent developments and shifts in perspective surrounding the three major cardiac signaling molecules calcineurin (Cn), protein kinase A (PKA) and calcium/calmodulin-dependent kinase II (CaMKII), this review challenges this dualistic view and advocates the nature and dignity of each of these key mediators of cardiac remodeling as a multilayered, highly context-sensitive and sophisticated continuum that can be markedly swayed and influenced by a multitude of environmental factors and crosstalk mechanisms. Furthermore this review delineates the importance and essential contributions of degradation and proteolysis to cardiac plasticity and homeostasis and finally aims to integrate the various aspects of protein synthesis and turnover into a comprehensive picture. Heart failure is the leading cause of death in industrialized countries , maternal cardiac growth during pregnancy and exercise-induced cardiac hypertrophy are all considered physiological entities of hypertrophy, pathological hypertrophic responses are observed upon sustained neurohumoral activation and abnormal mechanical stretch of the myocardium as common findings of various cardiac disease entities. These include but are not limited to ischemic events , pressure overload conditions such as arterial hypertension and aortic valve stenosis, genetic disorders due to alterations in key sarcomeric or metabolic proteins as well as infectious and toxic triggers can be optimized (remodeled) by technicians (key mediators) to perform according to the present demand by employing different fuel (metabolic), spare parts and logistics . These remodeling efforts can either be construed as long-lasting, sustainable and deliberate optimizations , or endeavors can be targeted at drastic, short-term improvements which will not be sustainable for a longer period of time but provide immediate and powerful responses to increased demands . Furthermore, it appears crucial whether the demand will have to be fulfilled infinitely or whether periods exist when the machine can (temporarily) cool down and reduce its output (as in exercise-related hypertrophy).Allegorically, cardiac plasticity could be referred to as the maintenance and adjustment of a machine subjected to heavy and undulating workload. The machine driving these changes of the machine may be similar or even the same in various aspects of remodeling. However, their intentions, perspectives and approaches may be different depending on a vast number of environmental, extrinsic and intrinsic factors.Finalizing this allegorical approach, the technicians as well as shifts in perspective in terms of relative importance of select mechanisms in cardiac remodeling .Calcineurin (Cn), one of the heart's most intensively studied enzymes, is a calcium-dependent serine/threonine phosphatase controlling key functions and processes in response to a wide range of stress stimuli. Calcineurin is composed as a heterodimer of catalytic (CnA) and smaller regulatory subunits (CnB) with CnA-alpha and CnA-beta as well as CnB1 constituting the relevant myocardial isoforms dichotomy has evolved into a more sophisticated view of calcineurin in particular and cardiac remodeling in general to be protective after myocardial infarction as effectors of multiple upstream cascades modify NFAT-dependent DNA-interaction and integrate various pathways into meticulously tuned stress responses shades of gray in cardiac remodeling rather than confined to the black-and-white dualism that dominated the last decades of research in the field of cardiac remodeling.Protein kinase A or cyclic AMP-dependent Kinase (PKA) constitutes the canonical downstream effector of the \u03b2-adrenergic cascade in myocardial signaling. Activation of the beta-adrenergic receptor (\u03b2AR), perhaps the heart's most crucial subclass of G-protein coupled receptor (GPCR), by catecholamines primarily elicits an increase in cellular cAMP via induction of cytosolic adenylyl cyclase crosstalk of PKA with CaMKII, perhaps the most intricately intertwined protagonists and pathways of myocyte remodeling.The (erratic) viewpoint of PKA as a detrimental player in cardiac remodeling and heart failure was significantly stimulated by the adverse cardiac phenotype observed in a transgenic mouse model overexpressing constitutively active PKA as the most intriguing elicitor and respective sensors and counterparts are integral parts of (sub)cellular signaling in many compartments of each cell. They contribute greatly to the myocyte's stress response and remodeling efforts may serve as another illustration of the complexity of cardiomyocyte signaling and remodeling mechanisms.Calcium-Calmodulin-dependent Kinase II (CaMKII) is at the center of multiple cardiac signaling cascades and modulates the heart's response to various extrinsic and intrinsic stimuli , calcium handling proteins as well as various calcium and sodium channels , but sometimes even phosphorylate a protein at the exact same amino acid position by inducing proteolysis, thereby selectively repressing myocyte enhancer factor-2 (MEF2) activity and shutting out CaMKII signaling tracks cardiac remodeling. As previously delineated both signaling pathways critically contribute to the pressure overload-induced phenotype of adverse remodeling, but knockout of both cardiac CaMKII genes demonstrates the supremacy of CaMKII for the maladaptive nature of remodeling in this setting, while calcineurin\u2014when isolated from CaMKII crosstalk and interdependency\u2014also seems to trigger beneficial processes in terms of a more physiological remodeling phenotype , but has been shown to be dephosphorylated by calcineurin, the third pivotal mediator of cardiac remodeling covered in this review remodeling accelerates and cardiac function declines coupling as well as multiple other cellular pathways which modulate the heart's quintessential function: force-generation for contraction of blood to supply the body with oxygen target parts of the contractile apparatus such as troponin I (MuRF-1) and myosin heavy chain (MuRF-1 and \u22123). In congruence, MuRFs have been shown as essential modulators of the hypertrophic remodeling process /desmin-related myopathies (DRM), generally clustered as a subgroup of the heterogeneous group of dilated cardiomyopathies (DCM), also highlight the critical implications of the UPS for remodeling research. They prove beyond doubt that loss of degradation capacities\u2014which is generally due to mutations in sarcomeric proteins, that render these mutated proteins less stable in the constant wear and tear, or even cause them to be misfolded from the beginning\u2014is indeed causative and crucial for the development of hypertrophic remodeling and deterioration of cardiac function in its wake lead to hypertrophic cardiomyopathy (HCM) associated with impairment of the UPS, establishing cMyBPC as the paradigm of HCM-studies , it appears very likely that a number of ubiquitin ligases targeting PKA, CaMKII and CnA are still unidentified and may be very important for a comprehensive picture of the mechanisms that control cardiac remodeling or lead to improvement of UPS function itself intricately affect each other and prove the cardiac remodeling processes to be comprehensive and minutely tuned programs that integrate all cellular pathways into a highly plastic and flexible machinery Figure .In summary, this review provides some thought-provoking impulses on emerging or ongoing controversies and shifts in perspective surrounding myocardial remodeling rather than trying to comprehensively cover the myriad of elaborate mechanisms of cardiac signaling.Therefore the two key messages are:Protagonists of cardiac remodeling demonstrate multifaceted crosstalk and significant interdependency in a highly context-sensitive nature. Therefore it is our opinion that they cannot be easily classified in terms of a black and white dualism but appear to roam a gradual continuum of \u201cfifty (or more) shades of gray.\u201dWhile protein synthesis and its regulation remain paramount for our understanding of cardiac adaptations, a shift in perspective has occurred in recent years as the mechanisms of maintenance and turnover of proteins have increasingly been recognized as essential aspects of sustained homeostasis\u2014or to put it in other words: \u201cGrowing tired (?)\u2014get a shrink before burn-out!\u201dThe authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Staphylococcus spp. are the most important Gram-positive causative agents of sepsis and are responsible for ~ 50% of sepsis and pyoinflammatory diseases in Ukraine. Up to 70% of Ukrainian staphylococci are also methicillin resistant which is determined by the genetic cassette SCCmec encoding the mecA \u03b2-lactam resistance gene. Besides mecA, some types of SCCmecs can also carry different genes of resistances to antibiotics like vancomycin etc. Until now nine types of SCCmec have been discovered based on the genetic construction, described and epidemiologically traced worldwide. It is now clear that new SCCmecs with enhanced antibiotic resistance characteristics are naturally appearing due to anthropogenic activities. Ukraine being geographically on a crossroads between Asia and Europe, having a big borderline with four countries-member of the EU and three non-EU European countries and exploiting a medical system where any antibiotic is easy to get without a doctor prescription can have a really dramatic impact on the SCCmec evolution in Europe. For this reason, a rapid screening assay with the following analysis of the SCCmecs is very much needed for the early identification of new SCCmecs in Ukraine and prediction of new epidemiological waves in Europe.Sepsis and its after-effects are currently significant problems in hospital medicine. Successful treatment depends on the early detection of the etiological agent of the sepsis and of any antibiotic resistances. Bacteria that belong to mec in Ukrainian staphylococci.was to elaborate a PCR rapid diagnostic test to reveal SCCStaphylococcus spp. isolates obtained from patients of the Institute of Traumatology and Orthopaedics of the NAMS of Ukraine.Four PCR-based assays -4 for memec was developed and implemented.A new \u201cin house\u201d multiplex PCR test based on for the mec has been now created and constantly supplemented.A rapid PCR-based test for \u03b2-lactam resistance identification is now available in Ukraine. A collection of Ukrainian MRSA from different regions with PCR-determined presence of SCCmecs with the detailed analysis of new SCCmec variants may impact prediction of new epidemiological waves in Europe.We recommend to organize project based on direct bacteria identification using SCCmec for implementation rapid screening in Ukraine. The epidemiological monitoring of Ukrainian SCC"}
+{"text": "How a living cell responds to exogenous materials is one of the fundamental questions in the life sciences. In particular, understanding the mechanisms by which a cell recognizes exogenous double-stranded DNA (dsDNA) is important for immunology research because it will facilitate the control of pathogen infections that entail the presence of exogenous dsDNA in the cytoplasm of host cells. Several cytosolic dsDNA sensor proteins that trigger innate immune responses have been identified and the downstream signaling pathways have been investigated. However, the events that occur at the site of exogenous dsDNA when it is exposed to the cytosol of the host cell remain unknown. Using dsDNA-coated polystyrene beads incorporated into living cells, we recently found that barrier-to-autointegration factor (BAF) binds to the exogenous dsDNA immediately after its appearance in the cytosol and plays a role in DNA avoidance of autophagy. Our findings reveal a novel pathway in which BAF plays a key role in the detection of and response to exogenous dsDNA. The rapid detection of exogenous materials and subsequent responses are important for the survival of living cells in variable environments.Understanding intracellular fates of exogenous dsDNA after endosome breakdown is also important for the development of appropriate dsDNA carriers that ensure an efficient and yet safe nucleic acid delivery system. Many non-viral dsDNA carriers, including lipid-based and polymer-based DNA carriers, have been developed and are widely used for transgene expression.in vitro.We recently reported the use of DNA-coated beads in which barrier-to-autointegration factor (BAF) acts as a cytosolic dsDNA sensor in mammalian cells.in vitro,The physiological significance of this BAF-mediated sequestration of exogenous dsDNA from autophagy remains unknown. Because autophagy is believed to act as an intracellular defense system that leads the targets to degradation, BAF acts in a somewhat opposite manner from its defense function. We speculate that BAF-mediated NE-like membrane assembly may function as a stronger defense system against exogenous dsDNAs than autophagy by rapidly compacting and isolating the DNA to prevent gene expression and replication. In fact, it is known that BAF can compact viral DNAs by bridging them In conclusion, direct visualization of BAF-mediated detection of exogenous dsDNA exposed to the cytosol of host cells shows an intimate link between the detection of exogenous dsDNA and subsequent intracellular responses. Our bead-mediated method will provide new insight into such responses to the entry of exogenous materials into a cell."}
+{"text": "Economic evaluation alongside trials is often based on data collected through self-reported questionnaires. Consequently, there are consistent problems with incomplete (missing) data irrespective of how well data collection methods are designed. Missing data poses a significant problem when conducting economic analyses of clinical trials, potentially leading to incorrect conclusions being drawn concerning an interventions\u2019 cost-effectiveness.Trials which collect economic data through multiple sources, such as hospital records in addition to patient self-reports, present an efficient and relatively simple means of investigating the impact different sources of data may have on the outcome of the economic evaluation of a trial. The present study uses data from a large randomised controlled trial of a family based intervention which collected health care resource use via both self-report, as well as through Hospital Episode Statistics (HES) data, sourced from the Health and Social Care Information Centre (HSCIC), to explore one method of dealing with missing data.Multiple Imputation (MI) is the recommended statistical approach for evaluating the impact of missing data. Using data from the randomised controlled trial, we are able to compare two datasets; one derived via multiple imputation of self-reported data which contained missing values, and the other being HES data, which is assumed to be an accurate and objective representation of actual health care resource use.These data sets allow us to assess the effectiveness of multiple imputation at estimating the \u2018truth\u2019 and explore how the different methods of data collection can impact on final cost-effectiveness results."}
+{"text": "The ability to form associations between aversive threats and their predictors is fundamental to survival. However, fear and anxiety in excess are detrimental and are a hallmark of psychiatric diseases such as post-traumatic stress disorder (PTSD). PTSD symptomatology includes persistent and intrusive thoughts of an experienced trauma, suggesting an inability to downregulate fear when a corresponding threat has subsided. Convergent evidence from human and rodent studies supports a role for the medial prefrontal cortex (mPFC)-amygdala network in both PTSD and the regulation of fear memory expression. In particular, current models stipulate that the prelimbic (PL) and infralimbic (IL) subdivisions of the rodent mPFC bidirectionally regulate fear expression via differential recruitment of amygdala neuronal subpopulations. However, an array of recent studies that employ new technical approaches has fundamentally challenged this interpretation. Here we explore how a new emphasis on the contribution of inhibitory neuronal populations, subcortical structures and the passage of time is reshaping our understanding of mPFC-amygdala circuits and their control over fear. Exposure to threats triggers a powerful form of learning that mediates the expression of survival-promoting behavior. The neural circuitry underlying this learning has been dissected largely through the use of Pavlovian fear conditioning, in which animals develop an association between a neutral conditioned stimulus (CS) and an aversive unconditioned stimulus , which plays a central role in fear responding to discrete cues as well as contexts. BLA cell types include principal excitatory neurons and a sparse, heterogeneous population of GABAergic interneurons has emerged as a potential key player in long-term memory expression with reciprocal connectivity to the CeA that ultimately gives rise to long-term fear and extinction memory. This will in turn help pinpoint with better clarity the dysfunctional mechanisms of fear processing that underlie conditions like PTSD. The new insights described here suggest that while these disorders may involve some degree of mPFC and BLA dysfunction, they might ultimately be more effectively addressed by treatments directed at extended fear regulatory circuits that are nevertheless heavily influenced by mPFC-BLA networks.This work was supported by NIH grant MH105414 (RLC), a Young Investigator Award from the Brain and Behavior Research Foundation (RLC), and a Human Frontiers Science Program Long-Term Fellowship (LT000191/2014-L) (MAC).The authors declare that the research was conducted in the absence of any commercial or financial relationships that could be construed as a potential conflict of interest."}
+{"text": "Cystic Fibrosis (CF) lung disease is characterized by liquid hyperabsorption, airway surface dehydration, and impaired mucociliary clearance (MCC). Herein, we present a compartment-based mathematical model of the airway that extends the resolution of functional imaging data.in vitro to gauge the fraction of airway epithelial cells that have functional ciliary activity.Using functional imaging data to inform our model, we developed a system of mechanism-motivated ordinary differential equations to describe the mucociliary clearance and absorption of aerosolized radiolabeled particle and small molecules probes from human subjects with and without CF. We also utilized a novel imaging metric This model, and its incorporated kinetic rate parameters, captures the MCC and liquid dynamics of the hyperabsorptive state in CF airways and the mitigation of that state by hypertonic saline treatment.We postulate, based on the model structure and its ability to capture clinical patient data, that patients with CF have regions of airway with diminished MCC function that can be recruited with hypertonic saline treatment. In so doing, this model structure not only makes a case for durable osmotic agents used in lung-region specific treatments, but also may provide a possible clinical endpoint, the fraction of functional ciliated airway. Cystic Fibrosis (CF) is an autosomal recessive disease that arises from a defect in the Cystic Fibrosis Transmembrane Conductance Regulator (CFTR) gene. CF affects multiple organ systems, with the most detrimental effects occurring in the lungs Inhaled agents that reverse osmotic gradients in the airways are used to treat the ASL dehydration defect associated with CF. Hypertonic saline (HS) is one such osmotic agent that has been shown to increase both MCC and lung function in patients with CF in vivo method utilizes Technetium 99m sulfur colloid (Tc-SC) as the non-absorbable particle probe and Indium 111-DTPA (DTPA) as the small molecule probe. The probes are delivered together in a liquid aerosol. in vitro studies have demonstrated a relationship between DTPA and airway surface liquid absorption rates in vivo in CF airways and in vitro in CF airway cell cultures in vitro and in vivoOutcome measures and biomarkers that quantify the basic pathophysiology of CF lung disease are needed to allow for the rapid screening of new therapeutics for CF. Ideally, these screening methods seek to quantify the basic pathophysiology of CF lung disease. Mucociliary clearance scans, which quantify the clearance of a radiolabeled particulate from the lungs, are one such functional imaging method for studying outcomes in CF. We have expanded this method to include measuring the clearance of a radiolabeled small-molecule that can be absorbed as well as cleared via MCC. Similar techniques have been used in the past to resolve the individual components of lung clearance Herein we present a compartment-based model of particle and small molecule clearance from the human respiratory tract that uses functional imaging data to inform model structure and quantitate parameter values. Our goal in developing this model is to better resolve the specific physiological mechanisms that contribute to the composite functional imaging result. We believe that these mechanism-specific measurements may provide more sensitive and specific evaluations of therapeutic efficacy than the currently used image-derived metrics. The challenge is to construct a mathematical representation of the physiology that can resolve the underlying mechanisms and their interactions.There have been a number of compartment-based pharmacokinetic (PK) models for inhaled pharmaceuticals Starting from the original model of Sakagami A fraction of the large airways and hypertonic saline on alternating study days DTPA is assumed to deposit in the same regions and clear by MCC at the same rate as Tc-SC; DTPA absorption is then captured by regressing the parameters Our model predicts that both Tc-SC retention and liquid absorption will follow trajectories within narrow envelopes based on the predicted upper and lower 95% confidence intervals (CIs) of the model parameters. These CI envelopes are derived using all possible combinations of the upper and lower 95% CIs and nominal values of the model parameters to generate the extreme values of model predictions. It has been proposed that the apparent increase of MCC following HS treatment occurs by increasing the rate at which MCC occurs ter FFCA , which dOur model also agrees with the previous reports that absorption, represented by In order to verify that hydration increases the fraction of functional ciliated area, we imaged CF HBE cultures before and after addition of 10 in vivo and in vitroThe failure of the CF airway epithelium to secrete We have developed a model that considers the basic mechanisms governing small molecule and particle probe clearance from physiologically distinct compartments of the lung. The combination of these mechanisms is reflected in the imaging result. Compartment or mechanism specific results provide additional insight into CF lung pathophysiology and therapeutic mechanisms of action. They may also provide more sensitive and accurate predictions of therapeutic efficacy than analyses of the composite imaging data as the compartmental description incorporates the inherent time-correlation of mass transport within the model structure.Our physically descriptive model includes central and peripheral lung compartments. The central zone includes large airways, intermediate and small airways, and alveoli while the peripheral zone includes only intermediate and small airways and alveoli lsqnonlin and nlparci yielded wide parameter confidence intervals, approximately An alternative, and more highly parameterized, model than that shown in While a two-compartment model, like that proposed by Sakagami in Results section may fail to include mechanisms that could manifest on timescales longer than the 80 minute imaging period. To address the question of model appropriateness on the timescales of our data, we compared our model to the following alternative model structures with AIC as the basis for quantitative comparison:The model structure presented in Case 1. Exclude Case 2. Include The AIC values of each case above, in comparison to the model in et al.in vitro findings presented here, that our estimation of FFCA as a model parameter is grounded in realistic physiology.In non-CF subjects, FFCA is found to be in vitro studies have related DTPA hyperabsorption to liquid hyperabsorption Our model asserts that the rate of DTPA absorption may help to differentiate their functional effects. The limited time scale of imaging (80 minutes) in the current study may have also limited assessment of small airway mucociliary clearance. Extended-duration imaging studies may yield additional data that can inform processes with slower rates and model parameters such as Our original study see describein vivo imaging data is ongoing. The model also predicts that FFCA is reduced in patients with CF as compared to the healthy population. We used this prediction as a hypothesis about inducing a functional change in vivo that can be tested in vitro. To further elucidate this phenomenon, and validate that such behavior is possible, we performed in vitro studies with HBE cell cultures. A quantitative visual assay of ciliary movement demonstrated that a larger fraction of the cell culture surface was activated after the addition of hypertonic saline vs. isotonic saline.Response to HS inhalation was apparent in terms of both decreased absorption and increased MCC as compared to IS inhalation. These trends are reflected in our modeled result. Our model suggests that the observed increase in MCC following HS inhalation is due to an increase in FFCA rather than an increase in MCC rate, and a detailed analysis of this hypothesis using the Some previous imaging studies have shown significant differences in whole lung MCC between CF and non-CF subjects Applications of this model may include the design of dosing regimens for agents targeting changes in MCC and/or absorption. For example, the timeline of the effects associated with an osmotic therapy (correction of liquid absorption defects) could be assessed independently of the resulting secondary effects . Dosing timed in accordance with the duration of the counter-absorptive effect may provide more continuous clearance from the lungs and patient benefit, though outcome assessment is beyond the scope of the model at present. The model could also be used to resolve the pharmacodynamics of medications with subtle, complex, or multiple therapeutic effects, to the degree that these agents impact MCC and absorption.in vivo in a real-time manner. This model should, therefore, be extendable to other treatments, both present and future, that target the liquid hyperabsorption and MCC deficiency present in cystic fibrosis.Our physiologically motivated compartmental model is able to reproduce the clearance behavior of both large particle (Tc-SC) and small molecule (DTPA) radiolabeled probes as informed by functional imaging data. The model asserts that liquid absorption rate is increased in the peripheral lung of patients with CF as compared to non-CF subjects, and that hypertonic saline will decrease the rate of absorption in patients with CF to near non-CF levels. Our model also attributes increased MCC induced by hypertonic saline treatment to an increase in airway surface area with functional ciliary clearance, as opposed to an increased rate of clearance. The physiology inherent to the model structure and parameterization allow for increased sensitivity in gauging the effects of hypertonic saline Data from previously reported clinical imaging studies were utilized in vitro studies have demonstrated a relationship between DTPA and ASL absorption. Since DTPA has no known route for intracellular transport this relationship is presumably due to the contribution of paracellular liquid flows. Changes in DTPA absorption in response to osmotic therapies have previously been demonstrated both in vitroin vivoThe aerosolized probes were delivered simultaneously by nebulizer using a technique that deposited aero